| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 1,260 | 630 | 630 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 100 SH ABB LTD. | 3,356 | 2,673 |
| 12 SH ABBVIE INC. COM | 1,348 | 1,838 |
| 60 SH ALCOA CORP | 2,905 | 2,735 |
| 25 SH AMERICAN ELEC PWR CO INC. | 2,229 | 2,399 |
| 2150 SH AT&T INC. | 3,036 | 3,144 |
| 25 SH ATMOS ENERGY CP | 2,239 | 2,803 |
| 70 SH BANK OF AMERICA | 2,779 | 2,179 |
| 145 SH BAYER AG SPON ADR | 1,980 | 2,156 |
| 9 SH BERKSHIRE HATHAWAY CL-B NEW | 2,494 | 2,457 |
| 40 SH BHG GROUP LIMITED ADR | 2,287 | 2,247 |
| 11 SH BIOGEN INC. COM | 2,199 | 2,243 |
| 10 SH CACI INTERNATIONAL INC. CL A | 2,560 | 2,818 |
| 150 SH VAMECO CORP. | 3,324 | 3,153 |
| 40 SH CHENIERE ENERGY INC. | 3,491 | 5,321 |
| 35 SH CHEVRON CORP | 3,572 | 5,067 |
| 75 SH CISCO SYS INC. | 3,776 | 3,198 |
| 60 SH COCA-COLA FEMSA, S.A. B. DE C.V. | 3,136 | 3,317 |
| 15 SH CONSTELLATION BRANDS INC. CL A | 3,451 | 3,496 |
| 4 SH COSTCO WHOLESALE CORP NEW | 1,586 | 1,917 |
| 30 SH CVS HEALTH CORP COM | 2,466 | 2,780 |
| 35 SH EMERSON ELECTRIC | 3,129 | 2,784 |
| 42 SH EXXON MOBIL CORP | 2,450 | 3,597 |
| 7 SH FAIRFAX FIN HLDG SUB VTF | 3,027 | 3,704 |
| 152 SH FANUC CORPORATION UNSP ADR | 2,672 | 2,362 |
| 55 SH FIRSTENERGY CORP | 1,992 | 2,111 |
| 55 SH FRANCHISE GROUP INC. | 2,033 | 1,929 |
| 20 SH FRANCO-NEVADA CORP | 2,900 | 2,632 |
| 90 SHFREEPORT MCMORAN CL-B | 3,752 | 2,633 |
| 60 SH GSK PLC ADR | 2,378 | 2,612 |
| 85 SH INTEL CORP | 3,748 | 3,180 |
| 35 SH INTERCONTINENTAL EXCHANGE INC. | 3,978 | 3,291 |
| 30 SH INTL BUSINESS MACHINES CORP | 4,043 | 4,236 |
| 13 SH OQVIA HOLDINGS INC. | 3,134 | 2,821 |
| 20 SH JP MORGAN CHASE | 2,850 | 2,252 |
| 70 SH KULICKE & SOFFA INDS | 3,719 | 2,997 |
| 15 SH L3HARRIS TECHNOLOGIES INC. | 3,251 | 3,626 |
| 9 SH LABORATORY CP AMER HLDGS | 2,473 | 2,109 |
| 7 SH LAM RESERACH CORPORATION | 3,477 | 2,983 |
| 40 SH LAREDO PETROLEUM INC. | 2,809 | 2,758 |
| 20 SH LYONDELLBASELL NV CL-A | 1,939 | 1,749 |
| 115 SH MARAVAI LIFESCIENCES HOLDINGS | 3,465 | 3,267 |
| 90 SH MP MATERIALS CORP | 3,205 | 2,887 |
| 50 SH NEWMONT CORPORATION | 3,114 | 2,984 |
| 32 SH NEXTERA ENERGY INC. | 2,452 | 2,479 |
| 7 SH NORTHROP GRUMMAN CP | 2,554 | 3,350 |
| 25 SH NUTRIEN LTD | 2,192 | 1,992 |
| 125 SH OLD REPUBLIC INTL CP | 3,042 | 2,795 |
| 50 SH OVINTIV INC. | 2,670 | 2,210 |
| 6 SH PALO ALTO NETWORKS INC. | 2,244 | 2,964 |
| 15 SH PEPSICO INC. | 2,217 | 2,500 |
| 25SH POLARIS INC. | 2,521 | 2,482 |
| 20 SH QUALCOMM INC. | 2,803 | 2,555 |
| 30 SH RAYTHEON TECHNOLOGIES | 2,569 | 2,883 |
| 54 SH ROCHE HOLDINGS ADR | 2,546 | 2,252 |
| 10 SH ROCKWELL AUTOMATION INC. | 2,144 | 1,993 |
| 75 SH ROYALTY PHARMA PLC SHS CLASS A | 3,065 | 3,153 |
| 71 SH SAGE THERAPEUTICS INC. | 2,353 | 2,293 |
| 45 SH SANOFI ADR | 2,415 | 2,251 |
| 30 SH SCIENCE APPLICATIONS INTL CP | 2,643 | 2,793 |
| 25 SH SONY GROUP CORPORATION ADR | 2,431 | 2,044 |
| 74 SH SUNCOR ENERGY INC. | 2,813 | 2,595 |
| 80 SH SWITCH INC. CL A | 1,666 | 2,680 |
| 20 SH T-MOBILE INC. | 2,306 | 2,691 |
| 35 SH TERADYNE INC. | 3,659 | 3,134 |
| 1 SH TEXAS PACIFIC LAND CORPORATION | 1,211 | 1,488 |
| 35 SH THE ST. JOE COMPANY | 1,491 | 1,385 |
| 48 SH US BANKCORP COM NEW | 2,673 | 2,209 |
| 60 SH VERIZON COMMUNICATIONS | 3,241 | 3,045 |
| 75 SH VIPER ENERGY PARTNERS LP | 2,101 | 2,001 |
| 100 SH VISTA OUTDOOR INC. | 4,018 | 2,790 |
| 125 SH VISTRA CORP. | 2,296 | 2,856 |
| 30 SH WALMART INC. | 4,117 | 3,647 |
| 75 SH WHEATON PRECIOUS METALS CORP | 3,297 | 2,702 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 500 SH FT-PREFERRED SECUR & INC. ETF | AT COST | 8,961 | 8,615 |
| 250 SH JANUS HENDRSN SHT DUR INC ETF | AT COST | 12,204 | 12,158 |
| 250 SH JP MORGAN ULTRA SHORT INC ETF | AT COST | 12,548 | 12,523 |
| 125 SH PIMCO ENHANCED SHRT MTRT EXC | AT COST | 12,463 | 12,389 |
| 175 SH VANGUARD SHTM INFLAT PROTEC | AT COST | 8,826 | 8,771 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| MANAGEMENT FEES | 2,708 | 2,708 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAX | 110 | 110 | 0 |