| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 5,000 | 5,000 | 5,000 | 5,000 |
| Identifier | Return Reference | Explanation |
|---|---|---|
| General Explanation Supplemental Information for Form 990-PF | PAGE 10PART XV QUESTION 2ALL INCOME EARNED BY THE TRUST IS DISTRIBUTED TO THE BRUNSWICK AREA STUDENT AID FUND AS REQUIRED BY THE TRUST INSTRUMENT. IT IS UP TO THE STUDENT AID FUND TO DISBURSE MONIES TO INDIVIDUALS. THE MCKENNEY BOOKER EDUCATION TRUST HAS NO INPUT IN WHO RECEIVES SCHOLARSHIPS THUS IT RECEIVES NO APPLICATIONS ETC... |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 50000 G E CAPITAL INTERNOTES 4.85% | 57,241 | 50,013 |
| 50000 FREEPORT MCMORAN CPR 3.55% | ||
| 50000 AT & T INC NTS 3.90% | ||
| 50000 KINDER MORGAN INC 4.150% | 50,053 | 49,990 |
| 50000 CITIGROUP INC. | 50,245 | 49,490 |
| 50000 GENERAL ELECTRIC CAP CORP 4.35% | 52,438 | 49,022 |
| 50000 BANK OF AMERICA CORP | 50,207 | 49,615 |
| 50000 GENERAL MOTORS FIN CORP | 49,117 | 48,074 |
| 50000 WELLS FARGO & CO | 51,396 | 49,180 |
| 50000 CVS CAREMARK CORP NTS | 50,099 | 50,087 |
| 50000 J P MORGAN CHASE NTS | 50,292 | 49,552 |
| 50000 ABBVIE IN NOTES | 50,918 | 49,963 |
| 75,000 SHS ORACLE CORP NTS 2.3% | 72,681 | 65,307 |
| 75,000 SHS BOEING CO B/E 3.2% | 72,350 | 66,392 |
| 100,000 J P MORGAN CHASE NTS 2.70% | 99,577 | 99,446 |
| 50,000 MCDONALDS CORP NTS 3.8% DUE 4/1/2 | 55,088 | 49,162 |
| 50,000 VERIZONS COMM INC NTS 4.016% | 49,097 | 48,073 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1435 S. EXXON MOBIL CORP | 37,218 | 137,172 |
| 1500 S. INTEL CORP | ||
| 1000 S. JOHNSON & JOHNS0N | 66,517 | 161,340 |
| 1000 S. J. P. MORGAN CHASE | 43,083 | 113,730 |
| 1300 S. MERCK & CO | 50,104 | 110,968 |
| 775 S. PEPSICO INC | 57,864 | 133,509 |
| 850 S. PROCTER & GAMBLE | 49,813 | 117,249 |
| 2825 VERIZON COMMUNICATIONS | 90,595 | 118,113 |
| 935 S. ISHARES TRUST RUSSELL 2000 VAL I | 56,864 | 135,276 |
| 660 S. ISHARES TRUST RUSSELL 2000 GWTH | 36,393 | 150,236 |
| 900 S. ISHARES MSCI EAFE INDEX FD | 49,158 | 55,530 |
| 2900 S. APPLE INC | 6,867 | 455,938 |
| 1500 S. ALPHABET INC CL A | 40,376 | 151,508 |
| 2500 AT & T INC | 48,771 | 43,850 |
| 1000 S. COCA COLA CO | ||
| 833 S. DOW CHEMICAL | ||
| 2025 S. PFIZER INC | 48,947 | 91,591 |
| 500 S. HOME DEPOT INC | 17,644 | 144,210 |
| 400 S. NORFOLK STHN CORP | 19,119 | 97,252 |
| 500 S. NIKE INC CL B | 9,814 | 53,225 |
| 2714 S. ADVENT CLAYMORE CONV SECS & INC | 51,653 | 35,608 |
| 1200 MICROSOFT | 4,069 | 313,764 |
| 6000 S TEMPLETON EMERGING MRKT INC FD | 69,873 | 30,300 |
| 350 S AMGEN | ||
| 500 S FACEBOOK | ||
| 250 S NETFLIX | ||
| 2000 S GOLDMAN SACHS GROUP INC | 47,500 | 38,360 |
| 2000 S. AMAZON | 48,770 | 253,540 |
| 3300 S MASTERCARD INC CL A | 27,939 | 97,311 |
| 2000 S MORGAN STANLEY PFD 7.125% | 54,460 | 51,140 |
| 1500 CISCO SYSTEMS | 46,180 | 67,080 |
| 1000 TORONTO DOMINION BANK | 43,950 | 64,340 |
| 1500 S BANK OF AMERICA | 24,730 | 50,415 |
| 200 S IDEXX | 32,501 | 69,524 |
| 200 S LOCKHEED MARTIN CORP | ||
| 400 S NVIDIA | 15,748 | 150,940 |
| 1850 S BP PLC SPON | 72,779 | 57,054 |
| 800 S INTL BUSINESS MACH | 108,925 | 102,760 |
| 40 S BANK OF AMERICA CONV | 52,000 | 49,096 |
| 715 S ABBVIE INC | 60,922 | 96,139 |
| 2300 S BHP GROUP LTD | 122,631 | 126,247 |
| 200 S. THERMO FISHER SCIENTIFIC | 47,916 | 109,064 |
| 250 S. AMERICAN EXPRESS | ||
| 1200 CARRIER GLOBAL | ||
| 3100 S. KINDER MORGAN INC | 45,509 | 56,792 |
| 250 S. MCDONALDS CORP | 47,388 | 63,070 |
| 150 S. PALO ALTO NETWORK INC | 42,617 | 83,522 |
| 1350 RAYTHEON TECHNOLOGIES | 98,972 | 121,163 |
| 600 S. TESLA INC | 24,094 | 165,366 |
| 275 S. COHEN & STEERS QUALITY INC | 26,535 | 39,930 |
| 1550 S. ISHARES PFD & INCOME SEC | ||
| 833.889 S. GUGGENHEIM TOTAL RETURN | ||
| 100SHS GENERAC HOLDINGS | ||
| 1000SHS HERTZ GLOBAL HOLDINGS | ||
| 100SHS NEXTERA ENERGY | 78,836 | 85,060 |
| 200SHS PAYPAL HOLDINGS | 96,069 | 56,064 |
| 750SHS RIO TINTO | ||
| 350SHS SIMONS PPTY GROUP | ||
| 501SHS SL GREEN REALTY CORP | ||
| 500SHS STATE STREET CORP | 41,805 | 34,175 |
| 225SHS TARGET CORP | 35,473 | 36,077 |
| 685SHS PARAMOUNT GLOBAL | 45,891 | 26,290 |
| 1055SHS ISHARES RUSSELL MIDCAP VALUE | 26,208 | 112,790 |
| 1516 ISHARES RUSSELL MIDCAP GROWTH | 26,004 | 130,361 |
| 1200SHS ISHARES GLOBAL CLEAN ENERGY | ||
| 985SHS ISHARES FLOATING RATE BOND | ||
| 975SHS VANGUARD SHORT TERM INFL RATE | 100,876 | 96,662 |
| 25478.842SHS AB HIGH INCOME FD | 223,105 | 171,982 |
| 18372.737SHS EATON VANCE FLOATING BND | 207,442 | 190,796 |
| 150SHS AIR BNB | ||
| 450SHS BLACKSTONE INC | 115,389 | 93,940 |
| 925 SHS CHEVRON CORP | 100,391 | 146,206 |
| 650SHS CITIGROUP INC | 44,320 | 31,727 |
| 100SHS COINBASE GLOBAL INC | ||
| 200SHS BOEING COMPANY | 34,141 | 32,050 |
| 3125SHS FORD MOTOR CO | 51,250 | 47,625 |
| 200SHS PROLOGIS INC | 24,674 | 24,902 |
| 400SHS WALT DISNEY CO | 41,060 | 44,832 |
| 831SHS WOODSIDE ENERGY GROUP | 17,883 | 18,955 |
| 4000 UNITS ENTERPRISE PRODUCTS PTRS | 56,168 | 105,280 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 3,877 | 3,877 | 3,877 | 3,877 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| MISCELLANEOUS- PUBLIC NOTICE | 39 | 39 | 39 | 39 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Other Investment Income | -1,751 | -1,751 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| EXCISE TAXES PAYABLE | 993 | |
| Rounding | 1 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 44,156 | 44,156 | 44,156 | 44,156 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 8,677 | 8,677 |