| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES- OLSEN THIELEN- TAX PREPARATION | 3,825 | 0 | 3,825 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ACCRUED INTEREST | 1,095 | 1,095 |
| 3044.037 SH - AB BOND INFLATION STRATEGY | 30,836 | 30,836 |
| 15880.948 SH - BERNSTEIN INTERMEDIATE DURATION PORTFOLIO | 181,519 | 181,519 |
| 25772.115 SH - AB GLOBAL BOND FUND-ADVISOR CL | 178,858 | 178,858 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 3 SH - SERVICENOW INC | 2,119 | 2,119 |
| 12 SH - ILLUMINA INC | 1,671 | 1,671 |
| 40 SH - WESTERN DIGITAL CORP | 2,095 | 2,095 |
| 13 SH - BOOZ ALLEN HAMILTON HOLDINGS | 1,663 | 1,663 |
| 58 SH - STELLANTIS NV | 1,353 | 1,353 |
| 4 SH - REGENERON PHARMACEUTICALS | 3,513 | 3,513 |
| 3 SH - AUTODESK INC | 730 | 730 |
| 24 SH - PAYPAL HOLDINGS INC | 1,474 | 1,474 |
| 41 SH - RESTAURANT BRANDS INTERN | 3,203 | 3,203 |
| 27 SH - PROLOGIS INC | 3,599 | 3,599 |
| 3 SH - COSTCO WHOLESALE CORP | 1,980 | 1,980 |
| 8 SH - CONSTELLATION BRANDS INC | 2,176 | 2,176 |
| 3 SH - KLA CORP | 1,744 | 1,744 |
| 37 SH - EDWARDS LIFESCIENCES | 2,821 | 2,821 |
| 10 SH - CDW CORP/DE | 2,273 | 2,273 |
| 19 SH - PROCTER & GAMBLE CO | 2,784 | 2,784 |
| 22 SH - QUALCOMM INC | 3,182 | 3,182 |
| 31 SH - LYONDELLBASELL INDU-CL A | 2,947 | 2,947 |
| 92 SH - BAKER HUGHES CO | 3,145 | 3,145 |
| 15 SH - CHEVRON CORP | 2,237 | 2,237 |
| 5 SH - LPL FINANCIAL HOLDINGS INC | 1,138 | 1,138 |
| 10 SH - PNC FINANCIAL SERVICES GROUP | 1,549 | 1,549 |
| 11 SH - AMERICAN TOWER CORP | 2,375 | 2,375 |
| 27 SH - WALT DISNEY CO/THE | 2,438 | 2,438 |
| 33 SH - OTIS WORLDWIDE CORP | 2,953 | 2,953 |
| 1 SH - AUTOZONE INC | 2,586 | 2,586 |
| 15 SH - NXP SEMICONDUCTORS NV | 3,445 | 3,445 |
| 9 SH - ZOETIS INC | 1,776 | 1,776 |
| 39 SH - NEXTERA ENERGY INC | 2,369 | 2,369 |
| 8 SH - WILLIS TOWERS WATSON PLC | 1,930 | 1,930 |
| 8 SH - ADOBE INC | 4,773 | 4,773 |
| 33 SH - AMERICAN ELECTRIC POWER | 2,680 | 2,680 |
| 20 SH - IQVIA HOLDINGS INC | 4,627 | 4,627 |
| 24 SH - META PLATFORMS INC - CLASS A | 8,495 | 8,495 |
| 53 SH - SCHWAB (CHARLES) CORP | 3,646 | 3,646 |
| 8 SH - LINDE PLC | 3,286 | 3,286 |
| 88 SH - GEN DIGITAL INC | 2,008 | 2,008 |
| 30 SH - NIKE INC- CL B | 3,257 | 3,257 |
| 21 SH - NVIDIA | 10,400 | 10,400 |
| 54 SH - MEDTRONIC PLC | 4,449 | 4,449 |
| 26 SH - T-MOBILE US INC | 4,169 | 4,169 |
| 82 SH - COMCAST CORP - CLASS A | 3,596 | 3,596 |
| 21 SH - EATON CORP PLC | 5,057 | 5,057 |
| 36 SH - PROGRESSIVE CORP | 5,734 | 5,734 |
| 118 SH - CSX CORP | 4,091 | 4,091 |
| 60 SH - COCA-COLA CO | 3,536 | 3,536 |
| 11 SH - VERTEX PHARMACEUTICALS INC | 4,476 | 4,476 |
| 9 SH - ELEVANCE HEALTH INC | 4,244 | 4,244 |
| 114 SH - BANK OF AMERICA CORP | 3,838 | 3,838 |
| 32 SH - EOG RESOURCES INC | 3,870 | 3,870 |
| 92 SH - ROCHE HLDG LTD SPONSORED ADR | 3,333 | 3,333 |
| 18 SH - RTX CORPORATION | 1,515 | 1,515 |
| 41 SH - WALMART INC | 6,464 | 6,464 |
| 52 SH - ORACLE CORP | 5,482 | 5,482 |
| 97 SH - WELLS FARGO & COMPANY | 4,774 | 4,774 |
| 11 SH - GOLDMAN SACHS GROUP INC | 4,243 | 4,243 |
| 14 SH - HOME DEPOT INC | 4,852 | 4,852 |
| 70 SH - AMAZON.COM INC | 10,636 | 10,636 |
| 45 SH - VISA INC-CLASS A SHRS | 11,716 | 11,716 |
| 20 SH - UNITEDHEALTH GROUP INC | 10,529 | 10,529 |
| 76 SH - APPLE INC | 14,632 | 14,632 |
| 962.021 SH - AB SMALL CAP CORE PORTFOLIO ADV CL | 12,198 | 12,198 |
| 114 SH - ALPHABET INC-CL C | 16,066 | 16,066 |
| 784.492 SH - AB DISCOVERY GROWTH FUND-AD | 12,670 | 12,670 |
| 572.576 SH - AB EMERGING MARKETS PORTFOLIO | 14,543 | 14,543 |
| 732.756 - AB DISCOVERY VALUE-ADV | 17,416 | 17,416 |
| 71 SH - MICROSOFT CORP | 26,699 | 26,699 |
| 2660.328 SH - AB INTERNATIONAL SMALL CAP PORTFOLIO | 29,663 | 29,663 |
| 13286.896 SH - AB INTERNATIONAL STRATEGIC EQUITIES PORTFOLIO | 153,331 | 153,331 |
| 43 SH - PACCAR INC | 4,199 | 4,199 |
| 7 SH - WATERS CORP | 2,305 | 2,305 |
| 5 SH - THERMO FISHER SCIENTIFIC INC | 2,654 | 2,654 |
| 29 SH - CORTEVA INC | 1,390 | 1,390 |
| 10 SH - HCA HEALTHCARE INC | 2,707 | 2,707 |
| 15 SH - HYATT HOTELS CORP - CL A | 1,956 | 1,956 |
| 19 SH - MASTEC INC | 1,439 | 1,439 |
| 6 SH - WORKDAY INC - CLASS A | 1,656 | 1,656 |
| 32 SH - SENSATA TECHNOLOGIES HOLDING | 1,202 | 1,202 |
| 3 SH - BROADCOM INC | 3,349 | 3,349 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 6093.902 SH - AB ALL MARKET REAL RETURN PORTFOLIO | FMV | 51,981 | 51,981 |
| 16453.43 SH - DYNAMIC ASSET ALLOCATION OVERLAY | FMV | 177,394 | 177,394 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| SOFTWARE | 123 | 0 | 123 |
| Description | Amount |
|---|---|
| INVESTMENTS - FAIR MARKET VALUE ADJUSTMENT | 100,070 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT FEES - BERNSTEIN | 8,024 | 8,024 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES PD ON INVESTMENTS | 778 | 778 | 0 |