| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting Fees | 4,653 | 2,327 | 2,326 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 266 SHS Alphabet Inc CL A | 32,156 | 37,158 |
| 570 SHS Amazon.com Inc | 68,013 | 86,606 |
| 800 SHS Ares Capital Corp | 16,673 | 16,024 |
| 48 SHS Arista Networks Inc | 8,615 | 11,304 |
| 75 SHS Caterpillar Inc | 21,197 | 22,175 |
| 60 SHS Chevron Corp | 9,822 | 8,950 |
| 63 SHS Coca Cola Co Com | 4,002 | 3,713 |
| 92 SHS Costco Wholesale Corp | 45,947 | 60,727 |
| 16 SHS Gallagher Arthur J & CO | 2,594 | 3,598 |
| 400 SHS Hannon Armstrong Sustainable Infrastructure Cap Inc Reit | 13,579 | 11,032 |
| 83 SHS Lilly Eli & Co | 29,568 | 48,382 |
| 70 SHS McKesson Corp | 28,357 | 32,409 |
| 25 SHS Merck & Co Inc Com | 2,246 | 2,726 |
| 383 SHS Microsoft Corp | 111,660 | 144,023 |
| 11 SHS Netflix Inc | 4,343 | 5,356 |
| 91 SHS Palo Alto Networks Inc | 20,906 | 26,834 |
| 118 SHS Pepsico Inc | 21,230 | 20,041 |
| 3 SHS Prologis Inc Com | 372 | 400 |
| 42 SHS T-Mobile US Inc Com | 6,686 | 6,734 |
| 58 SHS UnitedHealth Group Inc | 29,683 | 30,535 |
| 350 SHS First Trust Low Duration Mortgage Opp ETF | 17,897 | 16,912 |
| 2,000 iShares 1-3 Yr Treas Bond ETF | 165,216 | 164,080 |
| 350 iShares Short Treas Bond ETF | 38,493 | 38,546 |
| 1500 SHS JP Morgan Ultra-Short Income ETF | 75,388 | 75,345 |
| 2,110 SHS SPDR SSGA Ultra Short Term Bond ETF | 85,381 | 85,202 |
| 25 shs Adobe Systems Inc | 12,060 | 14,915 |
| 371 shs Advanced Micro Devices Inc. | 39,449 | 54,689 |
| 635 shs Agnico Eagle Mines Limited | 31,586 | 34,830 |
| 1800 shs Annaly Cap Mgmt Inc New | 35,379 | 34,866 |
| 343 shs Apellis Pharmaceuticals Inc. | 14,491 | 20,532 |
| 46 shs Appfolio Inc | 9,130 | 7,969 |
| 210 shs Apple Inc | 40,743 | 40,431 |
| 364 shs Arch Cap Group LTD | 31,138 | 27,034 |
| 64 shs ATI Inc | 2,553 | 2,910 |
| 29 shs Berkshire Hathaway Inc. Series B | 9,664 | 10,343 |
| 36 shs Blackrock Inc | 25,349 | 29,225 |
| 43 shs Blackstone Group Inc. | 4,446 | 5,630 |
| 800 shs Blackstone Secured Lending Fund | 21,386 | 22,112 |
| 72 shs Broadcom Inc. | 43,174 | 80,370 |
| 47 shs Cameco Corp | 2,071 | 2,026 |
| 462 shs Celsius Holdings Inc. | 26,077 | 25,188 |
| 155 shs Cheniere Energy Inc New | 24,094 | 26,460 |
| 300 shs Crinetics Pharmaceuticals Inc | 7,150 | 10,674 |
| 6 shs Dell Technologies Inc Cl C | 433 | 459 |
| 602 shs Draftkings Inc New | 18,275 | 21,221 |
| 215 shs Eaton Corp PLC | 45,223 | 51,776 |
| 283 shs Enovix Corp | 3,884 | 3,543 |
| 534 shs Freeport-McMoran Inc Class B | 19,811 | 22,732 |
| 24 shs Grainger WW Inc | 17,424 | 19,889 |
| 29 shs Hubspot Inc. | 13,898 | 16,836 |
| 159 shs Interactive Brokers Grp | 13,103 | 13,181 |
| 51 shs Intuit Inc. | 26,968 | 31,877 |
| 50 shs IShares ETF Russell 2000 Growth | 11,891 | 12,611 |
| 1500 shs IShares TR ETF Short Term Corp Bond | 74,911 | 76,913 |
| 129 shs JP Morgan Chase & Co | 16,993 | 21,943 |
| 143 shs Legend Biotech Corp | 9,635 | 8,604 |
| 140 shs Meta Platforms Inc | 34,907 | 49,554 |
| 30 shs Mongodb Inc Cl A | 10,698 | 12,266 |
| 97 shs Monster Beverage Corp | 5,440 | 5,588 |
| 251 shs Newmont Corp | 12,700 | 10,389 |
| 145 shs Nvidia Corp | 53,126 | 71,807 |
| 33 shs O'Reilly Automotive Inc | 27,447 | 31,353 |
| 168 shs On Holding AG Namen AKT | 5,272 | 4,531 |
| 101 shs Oracle Corporation | 12,260 | 10,648 |
| 60 shs Parker-Hannifin Corp | 22,166 | 27,642 |
| 637 shs Pinterest Inc. Cl A | 18,378 | 23,594 |
| 84 shs Procter & Gamble Co | 12,725 | 12,309 |
| 122 shs Quanta Svsc Inc. | 23,796 | 26,328 |
| 11 shs Regeneron Pharmaceutical Inc. | 9,226 | 9,661 |
| 991 shs Rivian Automotive Inc. Cl A | 19,001 | 23,249 |
| 25 shs SAIA Inc. | 10,612 | 10,956 |
| 109 shs Salesforce Inc. | 22,036 | 28,682 |
| 29 shs Servicenow Inc. | 16,329 | 20,488 |
| 56 shs Snowflake Inc | 8,961 | 11,144 |
| 49 shs Super Micro Computer Inc. | 13,002 | 13,929 |
| 6 shs Synopsys Corp | 2,847 | 3,089 |
| 141 shs Targa Resources Corp | 12,153 | 12,249 |
| 115 Teck Resources LTD | 4,956 | 4,861 |
| 194 shs Toll Brothers | 17,989 | 19,941 |
| 1766 shs Uber Technologies Inc. | 56,955 | 108,733 |
| 32 shs Vertex Pharmaceuticals Inc. | 11,583 | 13,020 |
| 165 shs Visa Inc Class A | 38,639 | 42,958 |
| 105 shs Vulcan Materials Company | 21,950 | 23,836 |
| 78 SHS Walmart Inc | 12,538 | 12,297 |
| 150 shs XPO Inc. | 10,867 | 13,139 |
| 81 shs Zoetis Inc. Class A | 14,087 | 15,987 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 20,000 shs Verizon Communications | FMV | 21,265 | 19,699 |
| 20,000 shs BK of America Corp NTS B/E | FMV | 21,340 | 19,661 |
| Description | Amount |
|---|---|
| Unrealized Gains | 38,605 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| OTHER PROFESSIONAL FEES | 20,170 | 20,170 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 131 | 131 | 0 | |
| Section 4940 Excise Taxes | 30,754 | 0 | 0 | |
| State taxes | 200 | 0 | 200 |