| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 12000 GOLDMAN SACHS GROUP INC | 11,679 | 11,799 |
| 26000 MORGAN STANLEY | 25,080 | 25,474 |
| 11000 FISERV INC | 10,375 | 10,592 |
| 15000 GOLDMAN SACHS GROUP INC | 13,535 | 13,833 |
| 11000 ABBVIE INC | 9,927 | 10,295 |
| 19000 JPMORGAN CHASE & CO | 16,048 | 16,456 |
| 20000 VERIZON COMMUNICATIONS | 13,584 | 14,458 |
| 9000 ANHEUSER-BUSCH INBEV FIN | 8,417 | 8,827 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 37 A N S Y S INC COM | 11,020 | 13,427 |
| 163 ABBOTT LABS | 17,125 | 17,941 |
| 27 ADOBE INC | 13,972 | 16,108 |
| 18 AIR PRODUCTS&CHEM | 5,185 | 4,928 |
| 109 AKAMAI TECHNOLOGIES INC | 12,106 | 12,900 |
| 80 ALBANY INTL CRP NEW CL A | 7,435 | 7,858 |
| 65 ALBEMARLE CORP | 11,037 | 9,391 |
| 348 ALPHABET INC SHS CL A | 45,130 | 48,612 |
| 257 AMAZON COM INC COM | 35,960 | 39,048 |
| 29 AMERICAN WTR WKS CO INC | 4,068 | 3,826 |
| 464 APPLE INC | 83,919 | 89,334 |
| 883 ARCHROCK INC | 12,362 | 13,598 |
| 88 ARROW ELECTRONICS | 11,062 | 10,758 |
| 17 ASML HLDG NV NY REG SHS | 11,461 | 12,868 |
| 659 AT&T INC | 9,670 | 11,058 |
| 26 BECTON DICKINSON CO | 6,133 | 6,340 |
| 87 BERKSHIRE HATHAWAYINC | 31,149 | 31,029 |
| 26 BIO RAD LABS CL A | 9,153 | 8,395 |
| 17 BLACKROCK INC | 12,095 | 13,801 |
| 65 BLACKSTONE INC | 7,438 | 8,510 |
| 224 BORG WARNER INC | 8,530 | 8,030 |
| 95 BOSTON PPTYS INC | 6,527 | 6,666 |
| 163 BOSTON SCIENTIFIC CORP | 8,417 | 9,423 |
| 347 BOX INC | 9,662 | 8,887 |
| 140 BRISTOL-MYERS SQUIBB CO | 8,376 | 7,183 |
| 31 BROADCOM INC | 26,730 | 34,604 |
| 117 CABOT CORP | 8,977 | 9,770 |
| 163 CBRE GROUP INC | 14,286 | 15,174 |
| 108 CENTENE CORP | 7,496 | 8,015 |
| 196 CF INDS HLDGS INC | 15,271 | 15,582 |
| 55 CHARLES RIVER LABS INTL | 12,160 | 13,002 |
| 43 CHENIERE ENERGY | 7,226 | 7,341 |
| 118 CHEVRON CORP | 19,003 | 17,601 |
| 112 CIRRUS LOGIC INC DEL | 9,222 | 9,317 |
| 178 CISCO SYSTEMS INC COM | 9,479 | 8,993 |
| 225 COCA COLA COM | 13,740 | 13,259 |
| 86 CONMED CORP COM | 9,781 | 9,418 |
| 183 CONOCOPHILLIPS | 21,441 | 21,241 |
| 268 COPT DEFENSE PROPERTIES | 6,953 | 6,869 |
| 34 COSTCO WHOLESALE CRP DEL | 19,393 | 22,443 |
| 92 CRACKER BAREL OLD COUNTR | 7,732 | 7,091 |
| 263 CVS HEALTH CORP | 19,631 | 20,766 |
| 86 D R HORTON INC | 11,852 | 13,070 |
| 65 DARDEN RESTAURANTS INC | 10,434 | 10,680 |
| 41 DEERE CO | 17,539 | 16,395 |
| 114 DIODES INC | 9,053 | 9,179 |
| 120 DISNEY (WALT) CO COM STK | 10,757 | 10,835 |
| 66 DUPONT DE NEMOURS INC | 5,035 | 5,077 |
| 117 EASTMAN CHEMICAL CO COM | 10,135 | 10,509 |
| 75 EATON CORP PLC | 16,577 | 18,062 |
| 29 ELECTRONIC ARTS INC DEL | 3,531 | 3,967 |
| 6 EQUINIX INC | 4,622 | 4,832 |
| 122 EXXON MOBIL CORP COM | 11,994 | 12,198 |
| 81 FIRSTCASH HLDGS INC | 8,391 | 8,780 |
| 230 FORMFACTOR INC | 8,323 | 9,593 |
| 219 FREEPORT-MCMORAN INC | 9,047 | 9,323 |
| 122 GATX CORPORATION | 14,798 | 14,667 |
| 165 GENERAL MOTORS CO | 5,551 | 5,927 |
| 27 HERSHEY COMPANY | 6,031 | 5,034 |
| 19 HESS CORP | 2,576 | 2,739 |
| 169 HEXCEL CORP NEW COM | 11,925 | 12,464 |
| 27 HILTON WORLDWIDE | 4,182 | 4,916 |
| 173 HOLOGIC INC | 12,667 | 12,361 |
| 60 HOME DEPOT INC | 20,024 | 20,793 |
| 61 HONEYWELL INTL INC DEL | 11,738 | 12,792 |
| 121 HOULIHAN LOKEY INC | 13,589 | 14,509 |
| 39 HUNTINGTON INGALLS INDS | 9,352 | 10,126 |
| 114 INSPERITY INC | 12,334 | 13,363 |
| 81 JOHNSON AND JOHNSON COM | 13,774 | 12,696 |
| 153 JPMORGAN CHASE & CO | 23,820 | 26,025 |
| 468 KEYCORP NEW | 6,088 | 6,739 |
| 131 KKR & CO INC CL A | 8,552 | 10,853 |
| 31 LVMH MOET HENNESSY ADR | 5,595 | 5,036 |
| 39 L3HARRIS TECHNOLOGIES | 7,395 | 8,214 |
| 215 MARVELL TECH INC | 12,329 | 12,967 |
| 297 MERCK AND CO INC SHS | 31,824 | 32,379 |
| 16 META PLATFORMS INC | 5,292 | 5,663 |
| 257 MGM RESORTS INTERNATIONL | 11,688 | 11,483 |
| 227 MICROSOFT CORP | 74,181 | 85,361 |
| 197 MONDELEZ INTERNATIONAL | 14,464 | 14,269 |
| 26 MONOLITHIC PWR SYSTEMS | 14,783 | 16,400 |
| 96 MOOG INC CL A | 12,136 | 13,899 |
| 303 MORGAN STANLEY | 26,719 | 28,255 |
| 382 MYRIAD GENETICS INC | 7,338 | 7,311 |
| 179 NEXTERA ENERGY INC SHS | 12,123 | 10,872 |
| 89 NIKE INC CL B | 9,770 | 9,663 |
| 11 NORTHROP GRUMMAN CORP | 4,780 | 5,150 |
| 77 NVIDIA | 32,179 | 38,132 |
| 207 ON SEMICONDUCTOR CRP COM | 18,794 | 17,291 |
| 145 PALO ALTO NETWORKS INC | 33,449 | 42,758 |
| 153 PAPA JOHNS INTL INC | 11,972 | 11,663 |
| 52 PAYPAL HOLDINGS INC SHS | 3,203 | 3,193 |
| 348 PENN ENTERTAINMENT INC | 8,525 | 9,055 |
| 54 PNC FINCL SERVICES GROUP | 7,193 | 8,362 |
| 80 PROCTER & GAMBLE CO | 11,987 | 11,723 |
| 92 PROLOGIS INC | 11,552 | 12,264 |
| 189 QIAGEN NV REG SHS | 8,155 | 8,208 |
| 73 QUANTA SERVICES INC | 14,788 | 15,753 |
| 115 RAYMOND JAMES FINL INC | 12,482 | 12,823 |
| 93 REINSURNCE GROUP AMERICA | 13,908 | 15,046 |
| 63 REPUBLIC SERVICES INC | 9,718 | 10,389 |
| 92 RTX CORP | 7,696 | 7,741 |
| 111 RYDER SYSTEM INC | 11,766 | 12,772 |
| 63 SALESFORCE INC | 13,579 | 16,578 |
| 47 SBA COMMUNICATIONS CORP | 11,219 | 11,923 |
| 81 SCHLUMBERGER LTD | 4,819 | 4,215 |
| 151 SEMPRA | 10,935 | 11,284 |
| 193 SMITH A O CORP DEL COM | 14,568 | 15,911 |
| 47 SNAP ON INC COM | 13,106 | 13,575 |
| 187 SONOCO PRODUCTS CO | 10,541 | 10,448 |
| 336 SPIRIT AEROSYSTEMS HLDGS | 8,777 | 10,678 |
| 171 STERICYCLE INC COM | 8,140 | 8,475 |
| 194 SYSCO CORPORATION | 13,977 | 14,187 |
| 66 TARGET CORP COM | 8,740 | 9,400 |
| 35 TELEDYNE TECH INC | 14,202 | 15,620 |
| 22 THERMO FISHER SCIENTIFIC | 11,895 | 11,677 |
| 13 UNION PACIFIC CORP | 2,991 | 3,193 |
| 56 UNITEDHEALTH GROUP INC | 28,587 | 29,482 |
| 27 VALERO ENERGY CORP NEW | 3,740 | 3,510 |
| 99 VISA INC CL A SHRS | 23,981 | 25,775 |
| 89 WALMART INC | 14,241 | 14,031 |
| 79 WASTE MANAGEMENT INC NEW | 13,034 | 14,149 |
| 188 WEBSTER FINL CP PV $0.01 | 9,138 | 9,543 |
| 62 WEC ENERGY GROUP | 5,254 | 5,219 |
| 91 WOODWARD INC | 11,963 | 12,388 |
| 2150 BLACKROCK ALLOCATION | 19,362 | 19,608 |
| 18403 BLACKROCK ALLOCATION | 163,433 | 168,754 |
| 27388 BLACKROCK ALLOCATION | 224,857 | 230,610 |
| 66 SPDRS P BIOTECH | 5,282 | 5,893 |
| 1424 VANGUARD SMALL CAP | 296,489 | 303,782 |
| Description | Amount |
|---|---|
| FMV TO COST BASIS ADJUSTMENT | 54,412 |
| CHECKS CLEARED ABOVE DEDUCTION | 38,500 |
| 1099 INCOME IN EXCESS OF MONTHLY STATEMENT INCOME | 6,362 |
| OTHER ADJUSTMENT | 7,969 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| MANAGEMENT FEES | 6,147 | 6,147 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 13 | 13 | 0 |