| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 1,200 | 600 | 600 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 298 SHS VANGUARD SCOTTSDALE FDS VNG | 10,827 | 12,275 |
| 85 SHS PROSHARES TR DJ BROOFILED GLOBAL INFRASTRUCTURE | 6,123 | 6,251 |
| 1671 SHS ISHARES RUSSELL TOP 200 GROWTH | 242,151 | 322,054 |
| 58 SHS FIFTH THIRD BANCORP | 1,325 | 1,966 |
| 12 SHS UNITEDHEALTH GROUP INC | 6,251 | 6,318 |
| 9 SHS CONSTELLATION ENERGY CORP COM | 923 | 1,403 |
| 18 SHS GENERAL ELEC CO | 1,168 | 2,042 |
| 22 SHS XCEL ENERGY INC | 1,201 | 1,238 |
| 16 SHS ELECTRONIC ARTS INC | 1,135 | 1,368 |
| 22 SHS MARATHON PETE CORP | 2,530 | 2,967 |
| 22 SHS DARDEN RESTAURANTS INC | 1,278 | 2,300 |
| 8 SHS HONEYWELL INTERNATIONAL INC | 2,245 | 2,307 |
| 3 SHS ELEVANCE HEALTH INC | 3,721 | 3,772 |
| 13 SHS CATERPILLAR INC | 2,127 | 2,661 |
| 74 SHS PPL CORP | 1,538 | 1,491 |
| 9 SHS FEDEX CORP | 1,754 | 2,277 |
| 114 SHS KIMCO REALTY CORP | 1,412 | 1,897 |
| 22 SHS EATON CORPORATION PLC | 1,847 | 3,131 |
| 29 SHS DOMINION ENERGY | 1,947 | 1,598 |
| 4 SHS COSTCO WHSL CORP NEW | 1,653 | 2,640 |
| 30 SHS DELTA AIR LINES INC | 1,380 | 1,448 |
| 100 SHS HP INC | 1,617 | 1,986 |
| 32 SHS GENERAL MTRS CO COM | 1,663 | 1,760 |
| 48 SHS JOHNSON CTLS INTL PLC | 2,089 | 2,190 |
| 33 SHS HARTFORD FINL SVCS GROUP INC | 2,442 | 2,974 |
| 15 SHS TE CONNECTIVITY LIMITED | 2,215 | 2,810 |
| 17 SHS CBRE GROUP INC CL A | 2,695 | 3,444 |
| 10 SHS NORFOLK SOUTHN CORP | 1,751 | 1,891 |
| 22 SHS PAYCHEX INC | 1,902 | 2,263 |
| 20 SHS DISNEY WALT CO | 1,835 | 1,625 |
| 27 SHS EASTMAN CHEM CO | 2,882 | 3,054 |
| 15 SHS 3M CO | 3,480 | 3,498 |
| 45 SHS MONDELEZ INTERNATION INC | 2,275 | 2,680 |
| 27 SHS MORGAN STANLEY COM | 2,112 | 2,238 |
| 13 SHS SNAP-ON TOOLS CORP | 1,557 | 2,311 |
| 27 SHS BEST BUY INC. | 1,600 | 1,800 |
| 16 SHS NEXTERA ENERGY INC COM | 1,984 | 1,458 |
| 12 SHS KIMBERLY CLARK CORP COM | 2,148 | 2,187 |
| 27 SHS DUKE ENERGY CORPORATION | 2,407 | 2,523 |
| 12 SHS TARGET CORP | 1,902 | 1,567 |
| 22 SHS PROCTER & GAMBLE COMPANY | 4,522 | 4,982 |
| 84 SHS JUNIPER NETWORKS INC. | 1,978 | 2,005 |
| 24 SHS AMERICAN ELEC PWR INC COM | 2,135 | 1,949 |
| 14 SHS PRICE T ROWE GROUP INC COM | 1,962 | 1,938 |
| 22 SHS ALLSTATE CORP | 1,957 | 2,380 |
| 60 SHS CISCO SYS INC | 4,888 | 5,153 |
| 25 SHS WAL-MART STORES, INC | 2,492 | 3,153 |
| 23 SHS SOUTHERN CO COM | 3,268 | 3,296 |
| 17 SHS INTERCONTINENTAL EXCHANGE, INC COM | 2,886 | 3,596 |
| 7 SHS CIGNA CORP NEW USD | 3,515 | 3,593 |
| 49 SHS CVS HEALTH CORPORATION | 3,623 | 3,790 |
| 138 SHS REGIONS FINANCIAL CORP | 2,156 | 2,054 |
| 23 SHS JOHNSON & JOHNSON | 2,956 | 2,978 |
| 20 SHS INTERNATIONAL BUSINESS MACHS CORP | 2,602 | 3,271 |
| 11 SHS CME GROUP INC. | 2,992 | 3,159 |
| 10 SHS UNION PAC CORP COM | 3,102 | 3,684 |
| 21 SHS PHILLIP MORRIS INTL INC | 3,672 | 3,575 |
| 149 SHS BANK OF AMERICA CORP | 2,706 | 3,064 |
| 11 SHS ACCENTURE PLC CLASS A | 3,300 | 3,860 |
| 11 SHS THE HOME DEPOT INC | 4,503 | 5,198 |
| 100 SHS EXXON MOBIL CORP | 7,531 | 7,299 |
| 39 SHS JP MORGAN CHASE & CO | 6,959 | 8,335 |
| 34 SHS BERKSHIRE HATHAWAY INC. - CL B | 7,875 | 10,343 |
| 298 SHS ARTISAN INTERNATION SMALL-MID FUND | 11,512 | 12,323 |
| 466 SHS PEAR TREE POLARIS FGN VAL SM CAP | 11,863 | 12,679 |
| 1987 SHS GOLDMAN SACHS EMERGING MARKETS | 26,003 | 24,608 |
| 831 SHS ISHARES RUSSELL MID-CAP GROWTH ETF | 32,333 | 39,590 |
| 1156 SHS ISHARES RUSSELL MID-CAP VALUE ETF | 69,671 | 75,123 |
| 545 SHS ISHARES TR CORE MSCI EAFE ETF | 94,322 | 103,063 |
| 1071 SHS J P MORGAN EXCHANGE TRADED FD US | 61,519 | 71,455 |
| 23 SHS MEDTRONIC PLC | 1,749 | 1,895 |
| 36 SHS PENTAIR PLC | 1,682 | 2,618 |
| 53 SHS CATALENT INC | 2,405 | 2,381 |
| 37 SHS CENTENE COP DEL COM | 2,499 | 2,746 |
| 74 SHS BRISTOL MYERS SQUIBB CO | 3,831 | 3,797 |
| 38 SHS CHEVRON CORP NEW COM | 5,787 | 5,668 |
| 24 SHS DAVITA INC | 2,107 | 2,514 |
| 12 SHS ESSEX PPTY TR INC COM | 2,780 | 2,975 |
| 38 SHS GE HEALTHCARE TECHNOLOGIES INC | 2,559 | 2,938 |
| 5 SHS GOLDMAN SACHS GROUP INC | 1,629 | 1,929 |
| 11 SHS HCA HEALTHCARE INC | 2,950 | 2,977 |
| 169 SHS KINDER MORGAN INC DEL COM | 2,935 | 2,981 |
| 9 SHS MASTERCARD INC CL A | 3,841 | 3,839 |
| 12 SHS SIMON PPTY GROUP INC NEW COM | 1,450 | 1,712 |
| 163 SHS PARAMOUNT GLOBAL | 2,608 | 2,141 |
| 360 SHS WILLIAM BLAIR SMALL CAP GROWTH FUND | 10,816 | 11,735 |
| 807 SHS DRIEHAUS EMERGING MARKETS GROWTH FUND | 26,999 | 28,097 |
| 946 SHS HOTCHKIS & WILEY SMALL CAP DIVERSIFIED VALUE FUND | 12,167 | 11,838 |
| 1558 SHS MFS INTERNATIONAL EQUITY FUND CL R6 | 47,392 | 51,313 |
| 398 SHS THRIVENT SMALL CAP STOCK FUND CL S | 11,487 | 11,722 |
| 2488 SHS TRANSAMERICA INTERNATIONAL EQUITY FUND | 49,401 | 50,191 |
| 454 SHS ISHARES INC CORE MSCI EMKT | 22,931 | 22,963 |
| 1891 SHS JP MORGAN EXCHANGE TRADED FUND US VALUE FACTR | 67,195 | 72,955 |
| 251 SHS VANGUARD INTL EQUITY INDEX FDS GLOBAL EX-US REAL ESTATE INDEX | 9,726 | 10,690 |
| 164 SHS VANGUARD REAL ESTATE ETF | 13,649 | 14,491 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| SPDR BLOOMBERG HIGH YIELD BOND | AT COST | 8,183 | 8,431 |
| VANECK JP MORGAN EM LOCAL CURRENCY BOND | AT COST | 12,726 | 12,802 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| AGENCY FEES | 6,531 | 6,531 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 861 | 861 | 0 |