| Identifier | Return Reference | Explanation |
|---|---|---|
| FORM 990-PF | THE FOUNDATION ELECTED TO CHANGE ITS ACCOUNTING PERIOD FROM AN OCTOBER FISCAL YEAR TO A CALENDAR YEAR. THIS INITIAL CALENDAR YEAR RETURN WILL COVER THE SHORT PERIOD FROM NOVEMBER 1, 2021-DECEMBER 31, 2021.FOR THE FISCAL YEAR RETURN ENDING OCTOBER 31, 2021, THE FOUNDATION HAD UNDISTRIBUTED INCOME IN THE AMOUNT OF $163,641 WHICH IS REQUIRED TO BE DISTRIBUTED BY OCTOBER 31, 2022. DUE TO THE SHORT -TERM PERIOD RETURN, PART X HAD TO BE ADJUSTED TO REFLECT THE PRIOR YEAR UNDISTRIBUTED AMOUNT WITH THE CURRENT YEAR SHORT YEAR PRORATED AMOUNT.FOR THE PERIOD FROM NOVEMBER 1, 2021 - OCTOBER 3, 2022, THE FOUNDATION DISTRIBUTED $178,700 TO VARIOUS CHARITIES SATISFYING THE YEAR ENDING OCTOBER 31, 2021 REQUIREMENT. |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 62993.39 OW FIXED INCOME FUND | 660,104 | 703,636 |
| 101.00 MATCH GROUP INC | 11,305 | 13,357 |
| 50.00 SEA LTD ADR | 3,766 | 11,185 |
| 35.00 ALPHABET INC CLASS C | 32,253 | 101,275 |
| 180.00 META PLATFORMS INC | 32,601 | 60,543 |
| 25.00 CHARTER COMMUNICATIONS INC | 11,654 | 16,299 |
| 175.00 HILTON WORLDWIDE HOLDINGS | 18,720 | 27,298 |
| 105.00 WYNDHAM HOTELS & RESORTS | 5,587 | 9,413 |
| 75.00 ADVANCE AUTO PARTS | 8,468 | 17,991 |
| 21.00 DOMINOS PIZZA | 8,405 | 11,850 |
| 5.00 MERCADOLIBRE INC | 7,750 | 6,742 |
| 380.00 DOLLARAMA INC | 13,584 | 19,005 |
| 55.00 EXPEDIA GROUP INC | 8,707 | 9,939 |
| 160.00 APTIV PLC | 24,410 | 26,392 |
| 45.00 BURLINGTON STORES INC | 8,062 | 13,117 |
| 18.00 AMAZON.COM INC | 13,770 | 60,018 |
| 35.00 HOME DEPOT | 5,382 | 14,525 |
| 250.00 NIKE INC CL B | 20,318 | 41,667 |
| 170.00 ROSS STORES INC | 17,285 | 19,427 |
| 30.00 LVMH MOET HENNESSY VUITTON | 12,792 | 24,702 |
| 475.00 US FOODS HOLDING CORP | 15,130 | 16,544 |
| 185.00 PEPSICO INC | 18,792 | 32,136 |
| 26622.10 OW CREDIT INCOME FUND | 266,013 | 268,616 |
| 70.00 PIONEER NATURAL RESOURCES | 11,876 | 12,731 |
| 400.00 CONOCOPHILLIPS | 19,331 | 28,872 |
| 160.00 JPMORGAN CHASE & CO | 24,852 | 25,336 |
| 1045.00 BANK OF AMERICA CORP | 31,542 | 46,492 |
| 300.00 CITIGROUP INC | 12,199 | 18,117 |
| 290.00 BLACKSTONE INC | 16,794 | 37,523 |
| 75.00 NASDAQ INC. | 6,974 | 15,750 |
| 40.00 AON PLC | 8,690 | 12,022 |
| 32.00 MSCI INC | 13,880 | 19,606 |
| 425.00 SCHWAB CHARLES CORP NEW | 22,890 | 35,742 |
| 52.00 S&P GLOBAL INC. | 16,153 | 24,540 |
| 85.00 UNITEDHEALTH GROUP INC | 22,673 | 42,681 |
| 38.00 TELEFLEX INC | 11,233 | 12,482 |
| 50.00 THERMO FISHER SCIENTIFIC | 7,008 | 33,362 |
| 105.00 DANAHER CORP | 10,896 | 34,546 |
| 34.00 LAB CORP OF AMER HLDGS NEW | 4,974 | 10,683 |
| 39.00 COOPER COS INC | 9,404 | 16,338 |
| 120.00 CATALENT INC | 13,197 | 15,363 |
| 60.00 STERIS PLC | 6,358 | 14,604 |
| 140.00 ZOETIS INC | 10,457 | 34,164 |
| 174.00 IQVIA HOLDINGS INC | 25,182 | 49,092 |
| 45.00 CINTAS CORP | 7,408 | 19,942 |
| 130.00 SMITH A O CORP | 5,267 | 11,160 |
| 55.00 HEICO CORPORATION | 7,614 | 7,932 |
| 195.00 IAA INC | 6,783 | 9,870 |
| 108.00 UNION PACIFIC CORP | 16,938 | 27,208 |
| 75.00 DOVER CORP | 1,241 | 13,620 |
| 61.00 NORTHROP GRUMMAN CORP | 22,232 | 23,611 |
| 50.00 CARLISLE COS | 9,814 | 12,406 |
| 80.00 LINCOLN ELEC HLDG | 10,535 | 11,157 |
| 140.00 SAFRAN SA | 18,241 | 17,071 |
| 60.00 EQUIFAX INC | 8,502 | 17,567 |
| 160.00 EATON CORP PLC | 23,111 | 27,651 |
| 43.00 SYNOPSYS INC | 5,274 | 15,845 |
| 390.00 MICROSOFT CORP | 32,456 | 131,164 |
| 40.00 NVIDIA CORP | 11,557 | 11,764 |
| 37.00 ASML HOLDING | 18,059 | 29,615 |
| 50.00 NICE LTD ADR | 9,220 | 15,180 |
| 255.00 VISA INC | 29,465 | 55,261 |
| 70.00 ASPEN TECHNOLOGY | 9,583 | 10,654 |
| 30.00 ANSYS INC | 6,165 | 12,033 |
| 580.00 APPLE INC | 25,202 | 102,990 |
| 210.00 TEXAS INSTRUMENTS INC | 22,942 | 39,578 |
| 43.00 ADOBE INC | 20,994 | 24,383 |
| 80.00 WEX INC | 13,741 | 11,231 |
| 80.00 CDW CORP/DE | 8,787 | 16,382 |
| 28.00 SERVICENOW INC | 4,809 | 18,175 |
| 260.00 AMPHENOL CORP | 12,378 | 22,739 |
| 135.00 SS&C TECHNOLOGIES HOLDINGS | 8,548 | 11,067 |
| 27.00 PAYCOM SOFTWARE INC | 10,116 | 11,210 |
| 163469.79 OW LARGE CAP STRATEGIES FD | 1,968,735 | 3,079,770 |
| 130.00 VULCAN MATERIALS | 24,304 | 26,985 |
| 110.00 AIR PRODUCTS & CHEMICALS | 28,597 | 33,468 |
| 130.00 AMERICAN TOWER CORP | 25,507 | 38,025 |
| 50.00 JONES LANG LASALLE INC COM | 13,089 | 13,467 |
| 49236.62 OW SMALL & MIDCAP STRAT FD | 602,932 | 888,721 |
| 170.00 AMEREN CORP | 11,292 | 15,131 |
| 75.00 AMERICAN WATER WORKS CO | 5,933 | 14,164 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| LASALLE INVESTMENT LP II | 30,144 | 29,728 | 29,728 |
| Description | Amount |
|---|---|
| TRUNCATION | 8 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT SERVICES FEES | 3,299 | 2,199 | 1,100 | |
| FROM FLOW THROUGH ENTITIES | 458 | 458 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES WITHHELD | 89 | 27 | 0 |