| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| BJHC, PC ACCOUNTING AND TAX | 3,985 | 2,989 | 996 |
| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| SHORT TERM COVERED TRANSACTIONS | 2023-01 | Purchased | 2023-12 | 166,085 | 178,161 | Cost | -12,076 | |||
| LONG TERM COVERED TRANSACTIONS | 2021-01 | Purchased | 2023-12 | 251,735 | 274,060 | -22,325 | ||||
| LONG TERM NONCOVERED TRANSACTIONS | 2021-01 | Purchased | 2023-12 | 9,919 | 4,461 | 5,458 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 25000 COMCAST CORP NEW CL A 3.4% 04/01/30 | 25,892 | 23,433 |
| 25000 KEYCORP 2.55% 10/01/29 | 26,066 | 21,290 |
| 25000 ORACLE CORPORATION 2.65% 07/15/26 | 25,965 | 23,716 |
| 25000 STARBUCKS CORP 2% 03/12/27 | 25,559 | 23,167 |
| 25000 VERIZON COMMUNICATIONS INC 2.1% 03/22/28 | 25,488 | 22,635 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 272 AT&T INC | 5,183 | 4,564 |
| 135 ALPHABET INC | 17,741 | 18,858 |
| 46 FACEBOOK META PLATFORMS INC | 14,262 | 16,282 |
| 10 NETFLIX, INC. | 4,877 | 4,869 |
| 121 AMAZON.COM INC | 18,047 | 18,385 |
| 42 DARDEN RESTAURANTS INC | 5,911 | 6,901 |
| 22 MARRIOTT INTERNATIONAL INC | 3,242 | 4,961 |
| 50 PULTE HOMES, INC. | 5,097 | 5,161 |
| 21 TESLA INC | 2,454 | 5,218 |
| 9 ULTA BEAUTY INC | 3,406 | 4,410 |
| 32 PEPSICO INC | 5,617 | 5,435 |
| 65 SYSCO CORP | 5,114 | 4,753 |
| 63 WALMART INC | 8,606 | 9,932 |
| 49 CHEVRON CORP | 8,423 | 7,309 |
| 54 CONOCOPHILLIPS | 4,727 | 6,268 |
| 9 BLACKROCK INC | 7,502 | 7,306 |
| 84 HARTFORD FINANCIAL SERVICES GROUP INC | 6,009 | 6,752 |
| 61 JP MORGAN CHASE & CO | 9,618 | 10,376 |
| 45 PROLOGIS | 5,179 | 5,999 |
| 11 S&P GLOBAL INC | 4,808 | 4,846 |
| 126 U.S. BANCORP NEW | 5,399 | 5,453 |
| 36 ABBVIE INC | 5,817 | 5,579 |
| 93 BOSTON SCIENTIFIC GROUP | 4,988 | 5,376 |
| 56 CVS HEALTH CORP HEALTH COPRORATION | 4,235 | 4,422 |
| 19 INSULET CORPORATION | 4,280 | 4,123 |
| 28 IQVIA HOLDINGS INC | 6,738 | 6,479 |
| 8 ELI LILLY & CO | 4,469 | 4,663 |
| 48 MERCK & CO INC NEW | 4,428 | 5,233 |
| 12 THERMO FISHER SCIENTIFIC INC | 6,977 | 6,369 |
| 18 UNITEDHEALTH GROUP INC | 8,370 | 9,476 |
| 59 EMERSON ELEC CO | 5,626 | 5,742 |
| 30 HONEYWELL INTERNATIONAL INC | 6,355 | 6,291 |
| 38 JACOBS SOLUTIONS INC | 4,509 | 4,932 |
| 46 OSHKOSH CORP | 5,537 | 4,987 |
| 29 UNITED PARCEL SERVICE | 5,478 | 4,560 |
| 32 EATON CORP PLC | 5,292 | 7,706 |
| 63 ADVANCED MICRO DEVICES INC | 7,881 | 9,287 |
| 28 ANALOG DEVICES | 4,642 | 5,560 |
| 128 APPLE INC | 19,535 | 24,644 |
| 36 APPLIED MATERIALS | 5,166 | 5,835 |
| 12 BROADCOM INC | 6,877 | 13,395 |
| 38 GLOBAL PAYMENTS INC | 5,592 | 4,826 |
| 84 MICROSOFT | 26,802 | 31,587 |
| 33 NVIDIA CORPORATION | 15,820 | 16,342 |
| 52 ORACLE CORPORATION | 4,482 | 5,482 |
| 29 PALO ALTO NETWORKS INC | 5,728 | 8,552 |
| 19 SALESFORCE INC | 5,023 | 5,000 |
| 9 SERVICENOW | 4,196 | 6,358 |
| 44 VISA INC | 9,844 | 11,455 |
| 16 AIR PRODUCTS & CHEMICALS | 4,631 | 4,381 |
| 55 EASTMAN CHEMICAL CO | 7,042 | 4,940 |
| 5 EQUINIX INC | 3,851 | 4,027 |
| 53 AMEREN CORP | 4,657 | 3,834 |
| 65 AMERICAN ELECTRIC POWER CO | 5,871 | 5,279 |
| 307 COLUMBIA EFT TRUST II-COLUMBIA EM CORE EX CHINA EFT | 8,707 | 9,293 |
| 169.686 CONTESTOGA SMALL CAP FUND | 12,031 | 12,380 |
| 153 I SHARES RUSSELL MIS CAP INDEX TRUST | 11,642 | 11,893 |
| 136 I SHARES RUSSELL 1000 VALUE INDEX FUND | 21,258 | 22,474 |
| 309 I SHARES ISHARES MSCI INT QUAL FACTOR EFT | 10,450 | 11,606 |
| 85 PROSHARE S&P 500 DIVIDEND ARISTROCRATS EFT | 7,402 | 8,092 |
| 626 SPDR MSCI ACWI EX-US EFT | 18,427 | 16,927 |
| 57 SPDR HEALTH CARE SELECT SPDR EFT | 7,439 | 7,774 |
| 50 SPDR TECHNOLOGY IDX | 7,062 | 9,624 |
| 240 VANGUARD TAX MANAGED INTL FUND | 12,174 | 11,496 |
| 146 VANGUARD INTL DIV APPRECIATION | 10,589 | 11,584 |
| 269 WISDOMTREE EMERGING MKTS SM CAP DIV | 12,576 | 13,429 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 1027.338 COLUMBIA CORPORATE INCOME FUND | 11,362 | 9,431 | |
| 32 ISHARES I BOXX INV GR CORPORATE BOND FUND | 3,637 | 3,541 | |
| 851.956 PRINCIPAL PREFERRED SECURITIES FUND | 8,505 | 7,514 | |
| 235 SPDR PORTFOLIO INT TERM CORP BOND ETF | 7,372 | 7,715 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| BANK CHARGES | 86 | 86 | ||
| FILING FEES | 50 | 50 | ||
| TELEPHONE/INTERNET | 2,165 | 2,165 | ||
| EQUIPMENT REPAIR | 75 | 75 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EASTERN BANK INVESTMENT MANAGEMENT | 8,256 | 8,256 | 0 |