| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting | 899 | 0 | 0 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1820.14 Shares Vanguard S/T Bond Index | 19,403 | 18,383 |
| 153 Shares iShares Iboxx Inv | 20,354 | 16,931 |
| 757 Shares iShares 0-5 Yr Inv | 38,591 | 37,244 |
| 100 Shares iShares Barclays TIPS Bond | 12,405 | 10,749 |
| 168 iShares 3-7 Year Treasury Bond ETF | 21,131 | 19,678 |
| 303 Shares iShares Barclays 1-3 Yr ETF | 25,018 | 24,858 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 38 Shares Chubb Corp. | 4,221 | 8,588 |
| 59 Shares Duke Energy Corp | 4,226 | 5,725 |
| 45 Shares Johnson & Johnson | 2,540 | 7,053 |
| 57 Shares Merck & Co. Inc. | 2,320 | 6,214 |
| 43 Shares Microsoft Corp. | 1,099 | 16,170 |
| 60 Shares Omnicom Group, Inc. | 2,146 | 5,191 |
| 40 Shares Pepsico, Inc. | 1,862 | 6,794 |
| 55 Shares Procter & Gamble Co. | 497 | 8,060 |
| 55 Shares Republic Services Inc | 1,549 | 9,070 |
| 53 Shares Xylem Inc | 1,947 | 6,061 |
| 35 Shares Accenture PLC | 814 | 12,282 |
| 115 Shares BCE, Inc. | 4,671 | 4,529 |
| 32 Shares McDonalds Corp | 3,066 | 9,488 |
| 194 Shares Intel Corp | ||
| 62 Shares US Bancorp | 3,190 | 2,683 |
| 55 Shares Check Point Software | 4,205 | 8,403 |
| 54 Shares Novartis | 3,709 | 5,452 |
| 52 Shares Target Corp | 3,856 | 7,406 |
| 26 Shares Adobe Inc | 5,169 | 15,512 |
| 101 Shares Mondelez Intn'l | 4,712 | 7,315 |
| 86 Shares TJX Cos Inc | 3,059 | 8,068 |
| 40 Shares Genuine Parts CO | 3,533 | 5,540 |
| 27 Shares Linde PLC | 4,413 | 11,089 |
| 105 Shares Medtronic PLC | 8,101 | 8,650 |
| 30 Shares Visa Inc Cl A | 4,222 | 7,811 |
| 45 Shares Zoetis Inc | 4,293 | 8,882 |
| 80 Shares Alcon Inc | 5,618 | 6,250 |
| 70 Shares iShares Core S&P Mid-Cap ETF | 15,253 | 19,401 |
| 225 Shares iShares Core S&P Small-Cap | 19,649 | 24,356 |
| 40 Shares JP Morgan Chase | 4,026 | 6,804 |
| 45 Shares Prologis Inc | 3,985 | 5,999 |
| 28 Shares Public Storage | 7,033 | 8,540 |
| 60 Shares T-Mobile US Inc | 4,654 | 9,620 |
| 126 Shares TC Energy Corp | 5,700 | 4,925 |
| 65 Shares Truist Financial Corp | 2,960 | 2,400 |
| 350 Shares Vanguard FTSE | 15,393 | 16,765 |
| 16 Shares Costco Wholesale Corp | 4,968 | 10,561 |
| 70 Shares Edward Lifesciences Corp | 5,367 | 5,338 |
| 42 Shares L3 Harris Technologies Inc | 8,580 | 8,846 |
| 132 Shares NextEra Energy Inc | 8,394 | 8,018 |
| 12 Shares S&P Global Inc | 4,005 | 5,286 |
| 10 Shares Vertex Pharmaceuticals Inc | 2,455 | 4,069 |
| 31 Shares Expeditors Intl of Washington | 3,555 | 3,943 |
| 30 Shares Fortinet Inc | ||
| 13 Shares Home Depot Inc | 3,723 | 4,505 |
| 89 Shares McCormick & Co Inc | 6,024 | 6,089 |
| 8 Shares NVIDIA Corp | 981 | 3,962 |
| 67 Shares Oracle Corporation | 4,669 | 7,064 |
| 24 Shares Quanta Services Inc | 2,922 | 5,179 |
| 31 Shares Texas Instruments | 5,541 | 5,284 |
| 18 Shares Chevron Corporation | 2,888 | 2,685 |
| 23 Shares Constellation Brands Inc | 5,437 | 5,560 |
| 20 Shares Deere & Co | 7,211 | 7,997 |
| 276 Shares Kinder Morgan Inc | 4,426 | 4,869 |
| 29 Shares Packaging Corp of America | 3,647 | 4,724 |
| 554.50 Shares Param Comm Strat Fd | 3,820 | 3,283 |
| 42 Shares T Rowe Price Group | 5,629 | 4,523 |
| 10 Shares Sandoz Group AG SPONS ADR | 194 | 320 |
| 7 Shares Thermo Fisher Scientific | 3,675 | 3,716 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| Rounding | 1 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Foreign Taxes | 247 | |||
| Income Taxes | 767 |