| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 705 SHS. 3M CORP | 80,787 | 77,071 |
| 500 SHS. ABBVIE INC | 40,255 | 77,485 |
| 21700 SHS. AMARIN CORP | 83,471 | 18,879 |
| 400 SHS. AMERICAN EXPRESS | 24,774 | 74,936 |
| 585 SHS. APPLE | 76,109 | 112,630 |
| 4850 SHS. ATOMERA | 86,947 | 33,999 |
| 1725 SHS. BANK OF AMERICA | 16,860 | 58,081 |
| 875 SHS. BRISTOL MYERS SQUIBB | 40,414 | 44,896 |
| 540 SHS. CHEVRON CORP | 56,899 | 80,546 |
| 950 SHS. COCA COLA CO | 36,113 | 55,984 |
| 1316 SHS. CORBUS PHARMACEUTICALS | 69,054 | 7,949 |
| 1140.333 SHS. DOW INC | 52,853 | 62,518 |
| 670 SHS. EXXON MOBIL | 35,866 | 66,987 |
| 740 SHS. GENERAL ELECTRIC | 48,231 | 94,446 |
| 4000 SHS. HERCULES CAP INC | 44,631 | 66,680 |
| 375 SHS. HOME DEPOT | 65,401 | 129,956 |
| 0 SHS. IBM | 7,687 | 0 |
| 450 SHS. JP MORGAN CHASE | 16,498 | 76,545 |
| 1835 SHS. JP MORGAN EQUITY | 105,580 | 100,888 |
| 700 SHS. MERCK &CO | 17,883 | 76,314 |
| 408 SHS. MICROSOFT | 141,891 | 153,424 |
| 885 SHS. MORGAN STANLEY | 19,433 | 82,526 |
| 204 SHS. NVIDIA GROUP | 8,156 | 101,025 |
| 328 SHS. PPG INDUSTRIES | 10,048 | 49,052 |
| 500 SHS. PAYCHEX | 23,365 | 59,555 |
| 350 SHS. P&G | 1,249 | 51,289 |
| 9550 SHS. TECHPRECISION | 61,068 | 49,469 |
| 85 SHS. BROADCOM INC | 50,789 | 94,881 |
| 6150 SHS. BLUE OWL CAP CORP | 87,159 | 90,774 |
| 3700 SHS. PENNATPARK FLOATING RATE | 45,652 | 44,770 |
| 201582.99 SHS. GOLDMAN SACHS FTOXX | 176,400 | 176,400 |
| 300 SHS. ALPHABET INC | 32,984 | 41,907 |
| 246 SHS. GE HEALTHCARE TECHS | 8,942 | 19,021 |
| 1950 SHS. JP MORGAN NASDAQ ETF | 95,662 | 97,364 |
| 4775 SHS. INVESCO TR II ETF | 100,412 | 101,135 |
| Description | Amount |
|---|---|
| ADJUSTMENT TO FUND BALANCE | 3,067 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ADVISORY FEES | 16,897 | 16,897 | 0 |