| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 21,799 | 8,637 | 2,013 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| CORPORATE DEBT SECURITY 1 | 200,000 | 200,000 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| PUBLICLY TRADED SECURITY 1 | 11,800,390 | 18,097,732 |
| PUBLICLY TRADED SECURITY 2 | 524,787 | 524,790 |
| PUBLICLY TRADED SECURITY 3 | 333,303 | 1,052,338 |
| PUBLICLY TRADED SECURITY 4 | 603,156 | 800,016 |
| PUBLICLY TRADED SECURITY 5 | 161,459 | 285,724 |
| PUBLICLY TRADED SECURITY 6 | 360,243 | 408,745 |
| PUBLICLY TRADED SECURITY 7 | 156,907 | 181,079 |
| PUBLICLY TRADED SECURITY 8 | 682,290 | 579,351 |
| PUBLICLY TRADED SECURITY 9 | 601,263 | 580,222 |
| PUBLICLY TRADED SECURITY 10 | 188,794 | 185,749 |
| PUBLICLY TRADED SECURITY 11 | 420,375 | 148,220 |
| PUBLICLY TRADED SECURITY 12 | 129,325 | 87,869 |
| PUBLICLY TRADED SECURITY 13 | 1,084,503 | 738,888 |
| PUBLICLY TRADED SECURITY 14 | 596,506 | 692,357 |
| PUBLICLY TRADED SECURITY 16 | 391,735 | 766,424 |
| PUBLICLY TRADED SECURITY 17 | 254,969 | 435,689 |
| PUBLICLY TRADED SECURITY 18 | 211,677 | 73,127 |
| PUBLICLY TRADED SECURITY 19 | 501,792 | 420,019 |
| PUBLICLY TRADED SECURITY 20 | 256,441 | 441,012 |
| PUBLICLY TRADED SECURITY 21 | 139,415 | 1,213,489 |
| PUBLICLY TRADED SECURITY 22 | 215,300 | 363,032 |
| PUBLICLY TRADED SECURITY 23 | 113,596 | 93,192 |
| PUBLICLY TRADED SECURITY 24 | 1,037,847 | 1,006,131 |
| PUBLICLY TRADED SECURITY 25 | 369,466 | 327,145 |
| PUBLICLY TRADED SECURITY 26 | 571,967 | 581,251 |
| PUBLICLY TRADED SECURITY 27 | 102,152 | 730,588 |
| PUBLICLY TRADED SECURITY 28 | 213,288 | 219,395 |
| PUBLICLY TRADED SECURITY 29 | 669,383 | 700,774 |
| PUBLICLY TRADED SECURITY 30 | 303,852 | 258,915 |
| PUBLICLY TRADED SECURITY 31 | 161,791 | 382,078 |
| PUBLICLY TRADED SECURITY 33 | 283,632 | 326,825 |
| PUBLICLY TRADED SECURITY 35 | 154,186 | 154,186 |
| PUBLICLY TRADED SECURITY 36 | 504,043 | 684,541 |
| PUBLICLY TRADED SECURITY 37 | 126,796 | 615,600 |
| PUBLICLY TRADED SECURITY 38 | 425,866 | 962,139 |
| PUBLICLY TRADED SECURITY 39 | 883,652 | 491,711 |
| PUBLICLY TRADED SECURITY 40 | 47,864 | 142,568 |
| PUBLICLY TRADED SECURITY 42 | 242,646 | 1,180,109 |
| PUBLICLY TRADED SECURITY 43 | 2,642,076 | 1,490,160 |
| PUBLICLY TRADED SECURITY 44 | 656,917 | 656,287 |
| PUBLICLY TRADED SECURITY 45 | 544,623 | 226,169 |
| PUBLICLY TRADED SECURITY 46 | 72,773 | 476,983 |
| PUBLICLY TRADED SECURITY 47 | 626,214 | 458,792 |
| PUBLICLY TRADED SECURITY 49 | 270,438 | 804,995 |
| PUBLICLY TRADED SECURITY 51 | 295,343 | 955,203 |
| PUBLICLY TRADED SECURITY 53 | 1,317,383 | 1,004,951 |
| PUBLICLY TRADED SECURITY 54 | 73,208 | 379,229 |
| PUBLICLY TRADED SECURITY 55 | 553,059 | 411,936 |
| PUBLICLY TRADED SECURITY 56 | 887,566 | 684,827 |
| PUBLICLY TRADED SECURITY 57 | 607,537 | 769,163 |
| PUBLICLY TRADED SECURITY 59 | 429,973 | 704,079 |
| PUBLICLY TRADED SECURITY 60 | 157,587 | 755,415 |
| PUBLICLY TRADED SECURITY 61 | 198,711 | 395,685 |
| PUBLICLY TRADED SECURITY 62 | 769 | 768 |
| PUBLICLY TRADED SECURITY 63 | 226,487 | 226,487 |
| PUBLICLY TRADED SECURITY 64 | 905,799 | 535,152 |
| PUBLICLY TRADED SECURITY 65 | 370,327 | 531,950 |
| PUBLICLY TRADED SECURITY 66 | 874,510 | 622,071 |
| PUBLICLY TRADED SECURITY 67 | 560,840 | 572,999 |
| PUBLICLY TRADED SECURITY 68 | 254,229 | 316,621 |
| PUBLICLY TRADED SECURITY 69 | 171,642 | 122,327 |
| PUBLICLY TRADED SECURITY 71 | 274,969 | 344,891 |
| PUBLICLY TRADED SECURITY 73 | 227,927 | 332,544 |
| PUBLICLY TRADED SECURITY 74 | 431,128 | 411,177 |
| PUBLICLY TRADED SECURITY 76 | 939,090 | 791,847 |
| PUBLICLY TRADED SECURITY 77 | 324,622 | 193,386 |
| PUBLICLY TRADED SECURITY 78 | 417,341 | 411,003 |
| PUBLICLY TRADED SECURITY 79 | 627,218 | 572,126 |
| PUBLICLY TRADED SECURITY 80 | 317,204 | 433,238 |
| PUBLICLY TRADED SECURITY 81 | 255,499 | 353,146 |
| PUBLICLY TRADED SECURITY 82 | 206,785 | 324,687 |
| PUBLICLY TRADED SECURITY 84 | 751,591 | 864,925 |
| PUBLICLY TRADED SECURITY 85 | 833,865 | 599,274 |
| PUBLICLY TRADED SECURITY 88 | 209,597 | 287,900 |
| PUBLICLY TRADED SECURITY 89 | 667,894 | 871,731 |
| PUBLICLY TRADED SECURITY 90 | 294,065 | 80,589 |
| PUBLICLY TRADED SECURITY 93 | 541,875 | 625,618 |
| PUBLICLY TRADED SECURITY 94 | 561,185 | 328,864 |
| PUBLICLY TRADED SECURITY 95 | 196,209 | 315,078 |
| PUBLICLY TRADED SECURITY 98 | 1,006,867 | 846,810 |
| PUBLICLY TRADED SECURITY 99 | 641,499 | 816,052 |
| PUBLICLY TRADED SECURITY 100 | 467,466 | 464,708 |
| PUBLICLY TRADED SECURITY 102 | 136,008 | 219,604 |
| PUBLICLY TRADED SECURITY 103 | 627,764 | 305,784 |
| PUBLICLY TRADED SECURITY 104 | 478,026 | 861,447 |
| PUBLICLY TRADED SECURITY 106 | 407,671 | 488,284 |
| PUBLICLY TRADED SECURITY 107 | 320,301 | 342,440 |
| PUBLICLY TRADED SECURITY 108 | 563,339 | 556,197 |
| PUBLICLY TRADED SECURITY 109 | 786,706 | 844,915 |
| PUBLICLY TRADED SECURITY 110 | 626,864 | 508,234 |
| PUBLICLY TRADED SECURITY 111 | 154,926 | 155,173 |
| PUBLICLY TRADED SECURITY 112 | 285,527 | 328,922 |
| PUBLICLY TRADED SECURITY 113 | 345,869 | 346,970 |
| PUBLICLY TRADED SECURITY 114 | 56,418 | 43,864 |
| PUBLICLY TRADED SECURITY 115 | 252,270 | 239,288 |
| PUBLICLY TRADED SECURITY 116 | 142,891 | 133,699 |
| PUBLICLY TRADED SECURITY 117 | 3,000,000 | 2,708,507 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| NON-MARKETABLE CORPORATE EQUITY SECURITY 1 | AT COST | 2,286,000 | 0 |
| NON-MARKETABLE CORPORATE EQUITY SECURITY 2 | AT COST | 695,026 | 695,026 |
| ALTERNATIVE INVESTMENT 1 | AT COST | 15,107 | 14,322 |
| ALTERNATIVE INVESTMENT 3 | AT COST | 390 | 390 |
| ALTERNATIVE INVESTMENT 4 | AT COST | 18,398,883 | 19,093,211 |
| ALTERNATIVE INVESTMENT 5 | AT COST | 518,079 | 851,783 |
| ALTERNATIVE INVESTMENT 7 | AT COST | 3,550,876 | 3,629,389 |
| ALTERNATIVE INVESTMENT 8 | AT COST | 2,052,288 | 2,279,336 |
| ALTERNATIVE INVESTMENT 9 | AT COST | 4,741,183 | 12,941,207 |
| ALTERNATIVE INVESTMENT 10 | AT COST | 445,736 | 320,747 |
| ALTERNATIVE INVESTMENT 11 | AT COST | 21,830 | 21,830 |
| ALTERNATIVE INVESTMENT 13 | AT COST | 6,846 | 11,264 |
| ALTERNATIVE INVESTMENT 14 | AT COST | 142,441 | 429,840 |
| ALTERNATIVE INVESTMENT 15 | AT COST | 198,428 | 90,959 |
| ALTERNATIVE INVESTMENT 16 | AT COST | 64,285 | 267,836 |
| ALTERNATIVE INVESTMENT 17 | AT COST | 270,733 | 3,894,791 |
| ALTERNATIVE INVESTMENT 18 | AT COST | 1,646,789 | 2,702,265 |
| ALTERNATIVE INVESTMENT 19 | AT COST | 641,559 | 1,143,634 |
| ALTERNATIVE INVESTMENT 20 | AT COST | 1,101,893 | 1,383,680 |
| ALTERNATIVE INVESTMENT 21 | AT COST | 1,913,553 | 3,788,698 |
| ALTERNATIVE INVESTMENT 22 | AT COST | 1,985,635 | 3,234,374 |
| ALTERNATIVE INVESTMENT 23 | AT COST | 2,280,486 | 2,514,454 |
| ALTERNATIVE INVESTMENT 24 | AT COST | 1,970,013 | 3,183,162 |
| ALTERNATIVE INVESTMENT 25 | AT COST | 856,068 | 1,403,682 |
| ALTERNATIVE INVESTMENT 26 | AT COST | 0 | 168,940 |
| ALTERNATIVE INVESTMENT 27 | AT COST | 2,892,024 | 3,712,125 |
| ALTERNATIVE INVESTMENT 28 | AT COST | 1,009,001 | 1,835,520 |
| ALTERNATIVE INVESTMENT 29 | AT COST | 1,833,517 | 2,228,355 |
| ALTERNATIVE INVESTMENT 30 | AT COST | 2,637,214 | 3,370,018 |
| ALTERNATIVE INVESTMENT 31 | AT COST | 850,105 | 927,402 |
| ALTERNATIVE INVESTMENT 32 | AT COST | 2,770,608 | 3,172,645 |
| ALTERNATIVE INVESTMENT 33 | AT COST | 2,914,507 | 3,011,573 |
| ALTERNATIVE INVESTMENT 35 | AT COST | 75,138 | 27,617 |
| ALTERNATIVE INVESTMENT 36 | AT COST | 258,777 | 345,592 |
| ALTERNATIVE INVESTMENT 37 | AT COST | 447,678 | 656,522 |
| ALTERNATIVE INVESTMENT 38 | AT COST | 0 | 233,730 |
| ALTERNATIVE INVESTMENT 39 | AT COST | 192,152 | 6,014,537 |
| ALTERNATIVE INVESTMENT 40 | AT COST | 1,569,984 | 5,030,341 |
| ALTERNATIVE INVESTMENT 41 | AT COST | 2,518,114 | 41,078 |
| ALTERNATIVE INVESTMENT 42 | AT COST | 14,243 | 44,099 |
| ALTERNATIVE INVESTMENT 43 | AT COST | 476,554 | 1,356,639 |
| ALTERNATIVE INVESTMENT 44 | AT COST | 13,065 | 248,122 |
| ALTERNATIVE INVESTMENT 45 | AT COST | 2,697,375 | 9,591,106 |
| ALTERNATIVE INVESTMENT 46 | AT COST | 8,000,000 | 14,983,609 |
| ALTERNATIVE INVESTMENT 47 | AT COST | 1,580,363 | 4,488,237 |
| ALTERNATIVE INVESTMENT 48 | AT COST | 4,881,775 | 20,840,148 |
| ALTERNATIVE INVESTMENT 49 | AT COST | 5,000,000 | 8,042,381 |
| ALTERNATIVE INVESTMENT 50 | AT COST | 0 | 44,118 |
| ALTERNATIVE INVESTMENT 51 | AT COST | 16,201 | 16,201 |
| ALTERNATIVE INVESTMENT 52 | AT COST | 616,896 | 1,093,441 |
| ALTERNATIVE INVESTMENT 53 | AT COST | 263,750 | 261,731 |
| ALTERNATIVE INVESTMENT 54 | AT COST | 0 | 1,065,986 |
| ALTERNATIVE INVESTMENT 55 | AT COST | 1,035,165 | 2,846,527 |
| ALTERNATIVE INVESTMENT 56 | AT COST | 1,499,870 | 2,218,008 |
| ALTERNATIVE INVESTMENT 57 | AT COST | 1,929,091 | 1,437,177 |
| ALTERNATIVE INVESTMENT 58 | AT COST | 1,055,823 | 1,422,038 |
| ALTERNATIVE INVESTMENT 59 | AT COST | 1,892,326 | 1,844,280 |
| ALTERNATIVE INVESTMENT 60 | AT COST | 1,583,611 | 1,519,571 |
| ALTERNATIVE INVESTMENT 61 | AT COST | 2,975,975 | 4,643,612 |
| ALTERNATIVE INVESTMENT 62 | AT COST | 4,249,057 | 4,249,057 |
| ALTERNATIVE INVESTMENT 63 | AT COST | 744,965 | 760,146 |
| ALTERNATIVE INVESTMENT 64 | AT COST | 39,530 | 49,036 |
| ALTERNATIVE INVESTMENT 65 | AT COST | 504,301 | 504,301 |
| ALTERNATIVE INVESTMENT 66 | AT COST | 106,607 | 106,607 |
| ALTERNATIVE INVESTMENT 67 | AT COST | 247,504 | 162,230 |
| ALTERNATIVE INVESTMENT 68 | AT COST | 544,618 | 449,250 |
| ALTERNATIVE INVESTMENT 69 | AT COST | 815,895 | 903,740 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| OIL AND GAS INTEREST ORRI | 0 | 0 | 1 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| GENERAL AND ADMINISTRATIVE | 11,608 | 6,964 | 3,024 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| PASSTHROUGH K-1 INCOME | 1,173,177 | 1,158,105 | 1,173,177 |
| OIL & GAS ROYALTY INCOME | 264 | 264 | 264 |
| PASSTHROUGH K-1 INCOME - UBTI | -1,004,373 | -1,004,373 |
| Description | Amount |
|---|---|
| BOOK/TAX DIFFERENCES IN INVESTMENTS | 694,598 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 580,088 | 578,359 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXCISE TAX | 287,766 | 0 | 0 |