| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Tax Preparation | 835 | 0 | 0 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Truist Financial Corp | ||
| AT&T Inc 1.000 Global Notes | 25,578 | 26,070 |
| Wells Fargo & Co 500 Class A Preferred | 12,879 | 12,650 |
| Bank of America 1,000 Notes | 26,739 | 26,820 |
| Capital One Financial 700 shares preferr | ||
| Duke Energy Corp 1000 shares preferred | 26,072 | 27,360 |
| Synovus Financial Corp 700 shares prefer | 18,488 | 18,480 |
| Synovus Financial Corp 700 shares prefer | 18,174 | 18,900 |
| AT&T Preferred Ser C 1000 shares | 24,230 | 26,260 |
| JP Morgan Chase 700 shares Preferred | 17,638 | 17,864 |
| JP Morgan Chase 100 shares Preferred | 12,607 | 12,760 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Altria Group 175 shares | 8,899 | 8,293 |
| General Electric 550 shares | ||
| International Business Machines 100 shar | 16,560 | 13,366 |
| Merck & Com 400 shares | 22,274 | 30,656 |
| Starwood Property Trust 1000 shares | ||
| Verizon Communications 500 shares | 25,284 | 25,980 |
| Altria Group 225 shares | 13,783 | 10,663 |
| Coca Cola Com | 17,542 | 23,684 |
| International Business Machines | 14,182 | 13,366 |
| Pfizer Inc 400 shares | 12,812 | 23,620 |
| Pfizer Inc 100 shares | 3,474 | 5,905 |
| Lowes Companies 180 shares | 14,123 | 46,526 |
| WalMart Inc 200 shares | 15,500 | 28,938 |
| AT&T 100 shares | 4,207 | 2,460 |
| AT&T 200 shares | 7,721 | 4,920 |
| Home Depot Inc 100 shares | 15,984 | 41,501 |
| AT&T 700 shares | 23,990 | 17,220 |
| Exxon Mobil Corp 300 shares | 23,822 | 18,357 |
| Exxon Mobil Corp 200 shares | 16,922 | 12,238 |
| Lowe's Companies 120 shares | 13,542 | 31,018 |
| Procter & Gamble 100 shares | 8,202 | 16,358 |
| Coca Cola Com 100 shares | 4,626 | 5,921 |
| Truist Financial Corporation | 10,402 | 11,710 |
| Enterprise Prodcuts Partners LP 600 shar | 17,421 | 13,176 |
| AT&T 200 shares | 7,907 | 4,920 |
| Bristol Myers Squibb 200 shares | 12,447 | 12,470 |
| CVS Health Corp 280 shares | 20,269 | 28,885 |
| Exxon Mobil 100 shares | 7,215 | 6,119 |
| Generac Holdings 150 shares | 27,230 | 52,788 |
| Generac Holdings 100 shares | 21,818 | 35,192 |
| International Paper Co 250 shares | 9,445 | 11,745 |
| Viatris Inc 49.5921 shares | ||
| Viatris Inc 12.4079 shares | ||
| Enterprise Products Partners 400 shares | 11,668 | 8,784 |
| Enterprise Products Partners 1400 shares | 25,536 | 30,744 |
| Bristol-Myers Squibb 200 shares | 11,612 | 12,470 |
| CSX Corp 500 shares | 17,848 | 18,800 |
| ViacomCBS 200 shares | 8,604 | 6,036 |
| ViacomCBS 300 shares | 12,876 | 9,054 |
| CVS Health Corp 300 shares | 22,507 | 30,948 |
| Exxon Mobil Corp 100 shares | 6,468 | 6,119 |
| First Horizon Corp 800 shares | 13,094 | 13,064 |
| International Paper Company400 shares | 20,177 | 18,792 |
| International Paper Company 150 shares | 9,036 | 7,047 |
| Pfizer Inc 400 shares | 16,018 | 23,620 |
| Enterprise Products Partners 600 shares | 14,033 | 13,176 |
| Enterprise Products Partners 1000 shares | 23,270 | 21,960 |
| Enterprise Products Partners 500 shares | 12,343 | 10,980 |
| WalMart Inc 100 shares | 14,213 | 14,469 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Kayne Anderson MLP | AT COST | ||
| Select Sector SPDR Tr 400 sh | AT COST | 59,106 | 130,403 |
| Blackrock Health Sciences 1,000 shares | AT COST | 20,000 | 25,360 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Annual Registration | 30 | |||
| Investment Fees | 150 | 150 |