| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TAX PREPARATION FEES | 5,400 | 0 | 5,400 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 104.000 SHARES OF SALESFORCE COM INC | 22,572 | 27,367 |
| 106.000 SHARES OF MCDONALDS CORP | 23,937 | 31,430 |
| 120.000 SHARES OF AUTOMATIC DATA PROCESSING | 26,057 | 27,956 |
| 122.000 SHARES OF APPLIED MATERIALS | 15,382 | 19,773 |
| 125.000 SHARES OF REPUBLIC SERVICES INC | 11,056 | 20,614 |
| 129.000 SHARES OF ABBOTT LABS | 14,144 | 14,199 |
| 135.000 SHARES OF VISA INC CL A | 25,750 | 35,147 |
| 136.000 SHARES OF META PLATFORMS INC CL A | 40,681 | 48,139 |
| 137.000 SHARES OF UNION PACIFIC CORP | 25,627 | 33,650 |
| 14.000 SHARES OF BROADCOM INC | 11,943 | 15,628 |
| 142.000 SHARES OF ACCENTURE PLC IRELAND CL A | 37,340 | 49,829 |
| 144.000 SHARES OF MARSH & MCLENNAN COS INC | 15,677 | 27,284 |
| 15.000 SHARES OF ASML HLDG NV SPON ADR | 9,468 | 11,354 |
| 151.000 SHARES OF ADVANCED MICRO DEVICES INC | 14,644 | 22,259 |
| 153.000 SHARES OF CHUBB LTD CHF | 24,543 | 34,578 |
| 159.000 SHARES OF NIKE INC CL B | 21,900 | 17,263 |
| 16.000 SHARES OF O REILLY AUTOMOTIVE INC | 7,526 | 15,201 |
| 176.000 SHARES OF AMER ELECTRIC POWER CO | 16,095 | 14,295 |
| 190.000 SHARES OF ANALOG DEVICES INC | 33,657 | 37,726 |
| 195.000 SHARES OF UNITED PARCEL SERVICE INC CL B | 34,326 | 30,660 |
| 201.000 SHARES OF PROCTER & GAMBLE CO | 27,766 | 29,454 |
| 239.000 SHARES OF TJX COS INC NEW | 13,672 | 22,421 |
| 252.000 SHARES OF JPMORGAN CHASE & CO | 28,005 | 42,865 |
| 253.000 SHARES OF BOSTON SCIENTIFIC CORP | 10,061 | 14,626 |
| 257.000 SHARES OF ABBVIE INC COM | 37,640 | 39,827 |
| 264.000 SHARES OF PROLOGIS INC | 32,166 | 35,191 |
| 28.000 SHARES OF THERMO FISHER SCIENTIFIC INC | 14,016 | 14,862 |
| 30.000 SHARES OF ROCKWELL AUTOMATION INC NEW | 7,022 | 9,314 |
| 32.000 SHARES OF S&P GLOBAL | 11,807 | 14,097 |
| 33.000 SHARES OF COSTCO WHOLESALE CORP | 14,616 | 21,783 |
| 337.000 SHARES OF MORGAN STANLEY | 31,232 | 31,425 |
| 339.000 SHARES OF COCA COLA | 20,781 | 19,977 |
| 351.000 SHARES OF ABBOTT LABS | 37,045 | 38,634 |
| 357.000 SHARES OF MICROSOFT CORP | 79,046 | 134,246 |
| 360.000 SHARES OF APPLE INC | 41,785 | 69,311 |
| 368.000 SHARES OF MICROSOFT CORP | 82,415 | 138,383 |
| 37.000 SHARES OF DANAHER CORP | 7,995 | 8,560 |
| 380.000 SHARES OF NEXTERA ENERGY INC COM | 28,329 | 23,081 |
| 382.000 SHARES OF STARBUCKS CORP | 39,935 | 36,676 |
| 39.000 SHARES OF INTUIT | 16,828 | 24,376 |
| 40.000 SHARES OF AMERIPRISE FINANCIAL | 6,392 | 15,193 |
| 42.000 SHARES OF BLACKROCK INC | 27,516 | 34,095 |
| 42.000 SHARES OF DIAGEO PLC NEW GB SPON ADR | 7,017 | 6,118 |
| 43.000 SHARES OF INTUITIVE SURGICAL INC | 11,618 | 14,506 |
| 443.000 SHARES OF TAIWAN SEMICONDUCTOR MFG CO LTD ADR | 40,611 | 46,072 |
| 446.000 SHARES OF ORACLE CORP | 34,856 | 47,022 |
| 478.000 SHARES OF ALPHABET INC CL A | 46,254 | 66,772 |
| 50.000 SHARES OF PALO ALTO NETWORKS INC | 7,878 | 14,744 |
| 510.000 SHARES OF AMAZON COM INC | 82,184 | 77,489 |
| 52.000 SHARES OF BROADCOM | 29,027 | 58,045 |
| 52.000 SHARES OF MASTERCARD INC CL A | 19,692 | 22,179 |
| 52.000 SHARES OF TRANE TECHNOLOGIES PLC | 10,318 | 12,683 |
| 56.000 SHARES OF UNITEDHEALTH GROUP INC | 26,752 | 29,482 |
| 60.000 SHARES OF LILLY ELI & CO | 20,500 | 34,975 |
| 617.000 SHARES OF COCA COLA CO INC | 30,741 | 36,360 |
| 63.000 SHARES OF SHERWIN WILLIAMS CO | 14,165 | 19,650 |
| 73.000 SHARES OF ACCENTURE PLC IRELAND A | 20,049 | 25,616 |
| 76.000 SHARES OF UNION PACIFIC CORP | 16,896 | 18,667 |
| 8.000 SHARES OF CHIPOTLE MEXICAN GRILL INC | 15,270 | 18,296 |
| 84.000 SHARES OF UNITEDHEALTH GROUP | 40,289 | 44,223 |
| 90.000 SHARES OF HOME DEPOT INC | 26,374 | 31,189 |
| 94.000 SHARES OF LINDE PLC EUR | 23,665 | 38,607 |
| 95.000 SHARES OF AMERICAN TOWER CORP REIT | 21,803 | 20,509 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 1,672.000 SHARES OF VANGUARD SMALL-CAP ETF | AT COST | 264,939 | 356,688 |
| 13,965.185 SHARES OF ACAP STRATEGIC FUND | AT COST | 361,447 | 252,211 |
| 15,061.552 SHARES OF FIRST EAGLE OVERSEAS FUND CLASS I | AT COST | 355,619 | 374,430 |
| 2,171.000 SHARES OF VANGUARD MID-CAP ETF | AT COST | 358,094 | 467,374 |
| 2,259.631 SHARES OF VANGUARD INTERNATIONAL GROWTH FUND ADMIRAL | AT COST | 307,600 | 230,053 |
| 2,877.000 SHARES OF ISHARES 20+ YEAR TREAS BOND | AT COST | 462,344 | 284,478 |
| 49,778.692 SHARES OF VANGUARD CORE BOND FUND CLASS ADMIRAL | AT COST | 1,074,358 | 903,656 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| UBS FEES | 26,982 | 26,982 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAX WITHHELD | 26 | 26 | 0 |