| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 1,000 | 0 | 0 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 150 SH AIR PRODUCTS AND CHEMICALS INC | 33,323 | 40,983 |
| 1920 SH AIRBUS SE UNSPON | 31,924 | 52,729 |
| 97 SH ALIBABA GROUP HOLDINGS | 20,079 | 22,575 |
| 60 SH ALPHABET INC | 54,692 | 105,113 |
| 24 SH AMAZON.COM | 45,596 | 78,166 |
| 300 SH ANALOG DEVICES INC | 27,669 | 44,319 |
| 450 SH AON PLC SHS CL A | 54,202 | 95,071 |
| 740 SH APPLE INC | 32,840 | 98,191 |
| 150 SH BERKSHIRE HATHAWAY | 30,222 | 34,780 |
| 775 SH BLACKSTONE GROUP | 35,928 | 50,228 |
| 5 SH BOOKING HOLDING INC | 9,015 | 11,136 |
| 550 SH CARLYLE GROUP INC | 12,148 | 17,292 |
| 150 SH CIGNA CORP | 11,841 | 31,227 |
| 800 SH CSX CORP | 40,920 | 72,600 |
| 313 SH DISNEY | 42,193 | 56,709 |
| 655 SH JP MORGAN CHASE | 30,413 | 83,231 |
| 1100 SH LENNAR CORP | 14,583 | 83,853 |
| 115 SH L3HARRIS TECHNOLOGIES | 23,478 | 21,737 |
| 675 SHARE MICROSOFT CORP | 46,519 | 150,134 |
| 310 SH MOTOROLA SOLUTIONS INC | 41,441 | 52,719 |
| 480 SH NEXTERA ENERGY INC | 26,391 | 37,032 |
| 500 SH ORACLE CORP | 17,388 | 32,345 |
| 325 SH RAYTHEON TECHNOLOGIES | 21,981 | 23,241 |
| 15 SH REGENERON PHARMACEUTICALS | 7,650 | 7,247 |
| 610 SH T MOBILE US | 47,172 | 82,258 |
| 53 SH THERMO FISHER SCIENTIFIC INC | 14,930 | 24,686 |
| 110 SH TRAVELERS COMPANIES INC | 5,415 | 15,441 |
| 200 SH UNION PACIFIC CORP | 30,835 | 41,644 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ADVISORY FEES | 12,534 | 12,534 | 0 | 0 |