| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting | 6,000 | 3,000 | 0 | 3,000 |
| Tax compliance | 2,400 | 1,200 | 0 | 1,200 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 175,000 AmEx Note 3.4% 02/27/23 | 174,864 | 184,387 |
| 175,000 Morgan Stanley 3.625% 01/20/27 | 173,027 | 194,099 |
| 200,000 Franklin Resources 2.8% 09/15/22 | 203,416 | 206,614 |
| 175,000 Goldman Sachs 3.85% 01/26/27 | 171,438 | 193,629 |
| 175,000 JPMorgan Chase 2.95% 10/01/26 | 170,243 | 188,582 |
| 100,000 Home Depot, Inc. 2.7% 04/15/2030 | 107,302 | 104,976 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 19,000 shs Abbott Laboratories | 245,510 | 2,281,520 |
| 15,000 shs AbbVie Inc | 15,000 | 1,672,500 |
| 2,500 shs Air Products & Chemicals Inc | 105,748 | 721,200 |
| 35,000 shs Altria Group Inc | 29,837 | 1,671,250 |
| 8,500 shs American Express Company | 151,606 | 1,303,475 |
| 21,000 shs Apple Inc | 443,977 | 10,911,180 |
| 5,000 shs ASML Holding NV | 490,637 | 3,240,500 |
| 7,000 shs Automatic Data Processing | 169,931 | 1,308,930 |
| 3,100 shs BlackRock Inc | 772,012 | 2,539,830 |
| 2,000 shs Canadian Pacific Railway Ltd | 240,625 | 746,260 |
| 18,000 shs Chevron Corporation | 471,235 | 1,855,260 |
| 9,000 shs Chubb Ltd | 916,085 | 1,544,310 |
| 34,000 shs Comcast Corporation | 826,098 | 1,909,100 |
| 14,000 shs ConocoPhillips | 528,732 | 715,960 |
| 35,162 shs Exxon Mobil Corporation | 189,828 | 867,873 |
| 800 shs Facebook Inc Common Stock | 87,051 | 260,064 |
| 6,666 shs Fox Corp CL A Com | 169,180 | 249,442 |
| 10,000 shs Intercontinental Exchange Inc | 485,701 | 1,177,100 |
| 3,400 shs Johnson & Johnson | 16,135 | 553,282 |
| 18,000 shs JPMorgan Chase & Co | 469,014 | 2,768,580 |
| 3,000 shs Kellogg Company | 97,710 | 187,260 |
| 7,600 shs Mcdonald's Corp | 186,933 | 1,794,208 |
| 1,700 shs Microsoft Corporation | 88,885 | 428,706 |
| 24,000 shs Nestle S A/S ADR | 85,750 | 2,865,096 |
| 6,000 shs Novartis AG | 373,335 | 511,440 |
| 30,000 shs Novo Nordisk A/S | 319,555 | 2,218,500 |
| 8,400 shs PepsiCo Inc | 83,399 | 1,210,944 |
| 40,000 shs Philip Morris Intl Inc | 122,417 | 3,800,000 |
| 5,700 shs Linde PLC Com Euro001(Praxair | 301,073 | 1,629,288 |
| 16,400 shs Proctor & Gamble | 8,021 | 2,188,088 |
| 20,000 shs Roche Holdings | 447,215 | 815,740 |
| 5,000 shs S&P Global Inc | 246,904 | 1,951,950 |
| 19,000 shs Texas Instruments Inc | 749,951 | 3,429,690 |
| 57,000 shs The Coca-Cola Co | 81,733 | 3,076,860 |
| 7,400 shs Union Pacific Corporation | 742,740 | 1,643,466 |
| 7,000 shs Visa Inc Class A | 487,163 | 1,634,920 |
| 13,656 shs Disney Walt Co | 741,812 | 2,540,289 |
| 5,000 shs Xilinx Inc | 162,542 | 639,800 |
| 1,200 shs Alcon Inc | 51,956 | 90,516 |
| 6,000 shs Raytheon Technologies Co | 448,683 | 499,440 |
| 6,000 shs Carrier Global Co | 152,047 | 261,480 |
| 3,000 shs Otis Worldwide Co | 212,614 | 233,610 |
| Category/ Item | Cost/Other Basis | Accumulated Depreciation | Book Value | End of Year Fair Market Value |
|---|---|---|---|---|
| Land | 139,914 | 139,914 | 93,737 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Insurance | 7,546 | 3,773 | 3,773 | |
| Land maintenance | 110 | 110 | ||
| Medical Student Poetry Program | 1,750 | 1,750 | ||
| Office expenses - reimburse Baylor | 70,000 | 70,000 | ||
| Other expenses | 666 | 413 | 250 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment advisor fees | 317,247 | 317,247 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Ad Valorem tax | 2,190 | 2,190 | ||
| Excise tax | 17,114 | |||
| Foreign tax | 35,948 | 35,948 |