| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| BANK OF AMER CORP 20,000 SHARES | 19,739 | 20,099 |
| BERKSHIRE HATHAWAY 20,000 SHARES | 19,403 | 19,625 |
| BK OF NY MELLON CORP 37,000 SHARES | 34,487 | 35,577 |
| CATERPILLAR INC 37,000 SHARES | 36,916 | 36,877 |
| CITIGROUP INC 37,000 SHARES | 35,753 | 36,767 |
| CME GROUP INC 37,000 SHARES | 35,520 | 36,545 |
| COMCAST CORP 37,000 SHARES | 34,952 | 36,313 |
| COMCAST CORP 57,000 SHARES | 57,051 | 57,123 |
| INTEL CORP 37,000 SHARES | 37,004 | 36,992 |
| J P MORGAN CHASE & CO 37,000 SHARES | 36,436 | 36,350 |
| LOCKHEED MARTIN CORP 19,000 SHARES | 18,668 | 18,962 |
| MCDONALD'S CORP 20,000 SHARES | 19,559 | 19,968 |
| MICROSOFT CORP 37,000 SHARES | 35,944 | 36,306 |
| MORGAN STANLEY 57,000 SHARES | 57,197 | 57,051 |
| MORGAN STANLEY 37,000 SHARES | 36,117 | 36,856 |
| PNC FINL SERV GRP INC 35,000 SHARES | 36,658 | 33,368 |
| TARGET CORP NTS 20,000 SHARES | 19,206 | 19,477 |
| UNITEDHEALTH GROUP INC 20,000 SHARES | 19,693 | 20,056 |
| US TSY NOTE 40,000 SHARES | 38,977 | 39,630 |
| US TSY NOTE 100,000 SHARES | 97,641 | 99,081 |
| VERIZON COMMUNICATIONS 20,000 SHARES | 19,686 | 19,810 |
| VISA INC 37,000 SHARES | 35,659 | 36,153 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBOTT LABS 453 SHARES | 47,628 | 49,862 |
| ABBVIE INC COM 339 SHARES | 49,495 | 52,535 |
| ACCENTURE PLC IRELAND CL A 184 SHARES | 43,536 | 64,567 |
| ADVANCED MICRO DEVICES INC 86 SHARES | 7,623 | 12,677 |
| AMER ELECTRIC POWER CO 217 SHARES | 19,520 | 17,625 |
| AMERIPRISE FINANCIAL INC 58 SHARES | 7,178 | 22,030 |
| ANALOG DEVICES INC 250 SHARES | 44,087 | 49,640 |
| AUTOMATIC DATA PROCESSNG INC 154 SHARES | 33,144 | 35,877 |
| BLACKROCK INC 56 SHARES | 34,796 | 45,461 |
| BROADCOM INC 81 SHARES | 49,061 | 90,416 |
| CADENCE DESIGN SYSTEM 66 SHARES | 8,893 | 17,976 |
| CF INDUSTRIES HOLDINGS INC 149 SHARES | 12,273 | 11,846 |
| COCA COLA CO COM 803 SHARES | 39,321 | 47,321 |
| COSTCO WHOLESALE CORP 25 SHARES | 5,314 | 16,502 |
| DEXCOM INC 90 SHARES | 8,646 | 11,168 |
| ECOLAB INC 85 SHARES | 12,988 | 16,860 |
| EOG RESOURCES INC 219 SHARES | 19,585 | 26,488 |
| EXXON MOBIL CORP 544 SHARES | 57,595 | 54,389 |
| FIVE9 INC 107 SHARES | 7,895 | 8,420 |
| GENERAC HLDGS INC 47 SHARES | 10,359 | 6,074 |
| HOME DEPOT INC 119 SHARES | 29,265 | 41,239 |
| HONEYWELL INTL INC 188 SHARES | 36,961 | 39,425 |
| JOHNSON & JOHNSON COM 292 SHARES | 42,163 | 45,768 |
| JPMORGAN CHASE & CO 332 SHARES | 37,922 | 56,473 |
| LYFT INC CL A 1138 SHARES | 12,726 | 17,059 |
| MARSH & MCLENNAN COS INC 195 SHARES | 16,943 | 36,947 |
| MCDONALDS CORP 142 SHARES | 27,288 | 42,104 |
| MICRON TECHNOLOGY INC 119 SHARES | 6,538 | 10,155 |
| MICROSOFT CORP 490 SHARES | 72,419 | 184,260 |
| MONTROSE ENVIRONMENTAL GROUP 116 SHARES | 6,685 | 3,727 |
| MORGAN STANLEY 431 SHARES | 40,534 | 40,191 |
| MSA SAFETY INC COM 62 SHARES | 7,017 | 10,467 |
| NEXTERA ENERGY INC COM 502 SHARES | 34,439 | 30,491 |
| NIKE INC CL B 117 SHARES | 11,916 | 12,703 |
| ON SEMICONDUCTOR CORP 80 SHARES | 4,593 | 6,682 |
| OPTION CARE HEALTH INC 457 SHARES | 11,731 | 15,396 |
| ORACLE CORP 579 SHARES | 45,000 | 61,044 |
| PALO ALTO NETWORKS INC 24 SHARES | 1,873 | 7,077 |
| PHILLIPS 66 185 SHARES | 15,591 | 24,631 |
| PROCTER & GAMBLE CO 259 SHARES | 29,902 | 37,954 |
| PROLOGIS INC COM 345 SHARES | 42,035 | 45,989 |
| REPUBLIC SERVICES INC 161 SHARES | 11,294 | 26,551 |
| RIVIAN AUTOMOTIVE INC CL A 464 SHARES | 9,357 | 10,885 |
| SALESFORCE, INC. 55 SHARES | 10,597 | 14,473 |
| SERVICENOW INC 16 SHARES | 9,158 | 11,304 |
| SLM CORP VTG 613 SHARES | 5,408 | 11,721 |
| SPLUNK INC 52 SHARES | 6,659 | 7,922 |
| STARBUCKS CORP 504 SHARES | 52,987 | 48,389 |
| UNION PACIFIC CORP 179 SHARES | 29,477 | 43,966 |
| UNITED PARCEL SERVICE INC CL B 257 SHARES | 44,566 | 40,408 |
| UNITEDHEALTH GROUP INC 153 SHARES | 65,128 | 80,550 |
| UNIVERSAL DISPLAY CORP 44 SHARES | 6,762 | 8,415 |
| VARONIS SYS INC 159 SHARES | 6,606 | 7,200 |
| VERTEX PHARMACEUTICAL INC 39 SHARES | 7,845 | 15,869 |
| WATTS WATER TECHNOLOGIES INC CL A 55 SHARES | 5,446 | 11,459 |
| WOLFSPEED INC 112 SHARES | 5,159 | 4,873 |
| ZEBRA TECHNOLOGIES CORP CL A 29 SHARES | 8,193 | 7,927 |
| ZOOM VIDEO COMMUNICATIONS INC CL A 221 SHARES | 15,593 | 15,892 |
| AALBERTS INDUSTRIES NV EUR 228 SHARES | 8,864 | 9,888 |
| ALCON INC CHF 101 SHARES | 6,070 | 7,890 |
| AON PLC CL A 50 SHARES | 8,354 | 14,551 |
| APTIV PLC 121 SHARES | 9,689 | 10,856 |
| ASTRAZENECA PLC SPON ADR 213 SHARES | 12,095 | 14,346 |
| AXA ADR 357 SHARES | 9,788 | 11,669 |
| BANK IRELAND GROUP PLC EUR 1509 SHARES | 11,363 | 13,699 |
| BIONTECH SE ADR 107 SHARES | 15,176 | 11,293 |
| BRAMBLES LTD SPON ADR 380 SHARES | 5,505 | 7,000 |
| BUNGE GLOBAL SA 116 SHARES | 4,486 | 11,710 |
| CHINA MENGNIU DAIRY CO LTD ADR 275 SHARES | 11,259 | 7,345 |
| CHUBB LTD CHF 202 SHARES | 31,014 | 45,652 |
| DANONE SPON ADR 1721 SHARES | 23,163 | 22,287 |
| DIAGEO PLC NEW GB SPON ADR 55 SHARES | 9,644 | 8,011 |
| EQUINOR ASA SPON ADR 679 SHARES | 15,179 | 21,484 |
| FANUC CORP ADR 456 SHARES | 10,042 | 6,671 |
| GENMAB A/S SPON ADR 149 SHARES | 3,301 | 4,744 |
| GS FINANCE CORP L/O TA-CYN MXEF SVX 03/13/2031 30000 SHARES | 300,000 | 248,250 |
| HARGREAVES LANSDOWN PLC GBP 502 SHARES | 9,437 | 4,697 |
| KERRY GROUP PLC SPON ADR 55 SHARES | 6,476 | 4,812 |
| KEYENCE CORP ORD JPY 20 SHARES | 7,680 | 8,813 |
| KONINKLIJKE PHILIPS NV SPON ADR 657 SHARES | 20,011 | 15,328 |
| LINDE PLC NEW EUR 150 SHARES | 32,480 | 61,607 |
| MEITUAN ADR 273 SHARES | 13,907 | 5,736 |
| MOWI ASA SPONSORED ADR 472 SHARES | 11,177 | 8,435 |
| NIPPON TELEG & TEL CORP SPON ADR 175 SHARES | 5,372 | 5,331 |
| OCI N V EUR 392 SHARES | 11,145 | 11,363 |
| PING AN INSURANCE (GROUP) CO OF CHINA LTD REPSTG 20 H SHS SPON 356 SHARES | 6,803 | 3,211 |
| PRYSMIAN S.P.A. MILANO EUR 360 SHARES | 8,872 | 16,372 |
| PT BK CENT ASIA TBK ADR 714 SHARES | 6,523 | 10,953 |
| SHIN ETSU CHEM CO LTD ADR 405 SHARES | 4,351 | 8,465 |
| SPECTRIS PLC GBP 306 SHARES | 10,175 | 14,327 |
| TAIWAN SEMICONDUCTOR MFG CO LTD ADR 586 SHARES | 54,468 | 60,944 |
| TRANE TECHNOLOGIES PLC 63 SHARES | 12,373 | 15,366 |
| VINCI SA ACT EUR 129 SHARES | 13,707 | 16,202 |
| WEST JAPAN RAILWAY CO ADR 185 SHARES | 8,046 | 7,707 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| CITIGROUP GLOBAL MARKETS | 18,000 | 18,000 | 18,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 20,809 | 20,809 | 0 | |
| OTHER FEES | 241 | 241 | 0 | |
| PROFESSIONAL FEES | 11,919 | 11,919 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 1,585 | 1,585 | 0 |