| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 912796T33 US TREAS BILL 02/23/ | ||
| 912796U31 US TREAS BILL 03/23/ | ||
| 912796V48 US TREAS BILL 04/20/ | ||
| 9128284X5 US TREAS 2.75% 08/31 | ||
| 9128285D8 US TREAS 2.875% 09/3 | ||
| 9128285K2 US TREAS 2.875% 10/3 | ||
| 9128285P1 US TREAS 2.875% 11/3 | ||
| 9128285U0 US TREAS 2.625% 12/3 | 19,863 | 20,000 |
| 912828N30 US TREAS 2.125% 12/3 | ||
| 912828W71 US TREAS 2.125% 03/3 | 24,168 | 24,801 |
| 91282CBG5 US TREAS 0.125% 01/3 | ||
| 91282CBM2 US TREAS 0.125% 02/1 | 23,612 | 24,845 |
| 91282CCD1 US TREAS 0.125% 05/3 | ||
| 91282CCK5 US TREAS 0.125% 06/3 | ||
| 91282CCN9 US TREAS 0.125% 07/3 | ||
| 91282CDV0 US TREAS 0.875% 01/3 | 19,100 | 19,929 |
| 9128283D0 US TREAS 2.25% 10/31 | 33,775 | 34,245 |
| 912828XX3 US TREAS 2% 06/30/24 | 28,815 | 29,532 |
| 912828YE4 US TREAS 1.25% 08/31 | 33,547 | 34,143 |
| 912828YH7 US TREAS 1.5% 09/30/ | 33,564 | 34,121 |
| 912828YY0 US TREAS 1.75% 12/31 | 33,346 | 33,967 |
| 912828ZF0 US TREAS 0.5% 03/31/ | 32,746 | 33,279 |
| 91282CDH1 US TREAS 0.75% 11/15 | 32,922 | 33,776 |
| 91282CEK3 US TREAS 2.5% 04/30/ | 34,014 | 34,680 |
| 91282CER8 US TREAS 2.5% 05/31/ | 33,962 | 34,609 |
| 91282CFA4 US TREAS 3% 07/31/24 | 17,468 | 17,788 |
| 91282CGG0 US TREAS 4.125% 01/3 | 34,496 | 34,781 |
| 91282CGN5 US TREAS 4.625% 02/2 | 34,657 | 34,979 |
| 91282CGX3 US TREAS 3.875% 04/3 | 34,478 | 34,686 |
| Description | Amount |
|---|---|
| AI EFFECTIVE AFTER TAX YEAR | 180 |
| ACCRUED INTEREST PAID | 278 |
| ROUNDING | 1 |
| Description | Amount |
|---|---|
| AI POSTING DATE BEFORE TAX YEAR | 148 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL ESTIMATES - INCOME | 56 | 0 | 0 |