| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| SignPAS | 2,600 | 0 | 0 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 103 shares of AT&T | 2,930 | 1,728 |
| 72 shares of Abbott Laboratories | 2,820 | 7,925 |
| 22 shares of Abbvie Inc | 1,577 | 3,409 |
| 9 shares of Accenture PLC | 1,602 | 3,158 |
| 14 shares of Air Prod & Chemicals | 1,935 | 3,833 |
| 27 shares of Altria Group Inc | 1,400 | 1,089 |
| 24 shares of Amer Electric Pwr Co | 1,378 | 1,949 |
| 18 shares of Ameriprise Finl | 2,409 | 6,837 |
| 17 shares of Amgen Inc | 2,680 | 4,896 |
| 86 shares of Archer-Daniels-Midln | 3,859 | 6,211 |
| 205 shares of Bank of America Corp | 5,106 | 6,902 |
| 39 shares of BP PLC | 1,657 | 1,381 |
| 12 shares of Broadcom Inc | 3,186 | 13,395 |
| 76 shares of Cardinal Health Inc | 4,852 | 7,661 |
| 16 shares of Chevron Corp | 2,012 | 2,387 |
| 19 shares of Cigna Corp | 3,508 | 5,690 |
| 121 shares of Cisco Systems Inc | 3,369 | 6,113 |
| 103 shares of Comcast Corp | 3,937 | 4,517 |
| 92 shares of Conocophillips | 5,370 | 10,678 |
| 62 shares of CVS Health Corp | 4,528 | 4,896 |
| 41 shares of Duke Energy | 2,895 | 3,979 |
| 49 shares of Dupont De Nemours Inc | 4,001 | 3,770 |
| 21 shares of Eaton Corp PLC | 1,667 | 5,057 |
| 75 shares of First Citizens | 8,738 | 106,423 |
| 25 shares of General Electric Co | 6,200 | 3,191 |
| 13 shares of Hershey Co | 1,802 | 2,424 |
| 16 shares of Home Depot Inc | 1,836 | 5,545 |
| 23 shares of Honeywell Intl Inc | 2,212 | 4,823 |
| 22 shares of Ingersoll Rand PLC | 586 | 1,701 |
| 71 shares of Intel Corp | 2,619 | 3,568 |
| 61 shares of J P Morgan Chase & Co | 3,879 | 10,376 |
| 39 shares of Johnson & Johnson | 4,151 | 6,113 |
| 18 shares of Kimberly-Clark Corp | 2,313 | 2,187 |
| 15 shares of Lilly Eli & Co | 1,665 | 8,744 |
| 10 shares of Lockheed Martin Corp | 2,334 | 4,532 |
| 33 shares of Lowes Companies Inc | 2,470 | 7,344 |
| 264 shares of Marathon Oil Corp | 3,525 | 6,378 |
| 85 shares of Merck & Co Inc | 4,695 | 9,267 |
| 63 shares of Mondelez Intl | 2,630 | 4,563 |
| 54 shares of Nasdaq OMX Group Inc Com | 1,571 | 3,140 |
| 72 shares of Nextera Energy Inc | 1,875 | 4,373 |
| 13 shares of Norfolk Southern Co | 2,139 | 3,073 |
| 11 shares of Northrop Grumman Co | 2,652 | 5,150 |
| 68 shares of Occidental Petrol Co | 4,360 | 4,060 |
| 8 shares of Occidental Petroleum Corp | 40 | 311 |
| 59 shares of Oracle Corp | 2,376 | 6,220 |
| 31 shares of Pepsico Inc | 3,108 | 5,265 |
| 190 shares of Pfizer Inc | 5,973 | 5,470 |
| 53 shares of Procter & Gamble | 5,207 | 7,767 |
| 910 shares of Qualcomm Inc | 44,020 | 131,613 |
| 35 shares of Quest Diagnostic Inc | 3,136 | 4,826 |
| 46 shares of Raytheon Co | 2,977 | 3,870 |
| 300 shares of Royal Bank of Canada | 16,510 | 30,339 |
| 59 shares of Shell PLC Spon ADS | 3,766 | 3,882 |
| 53 shares of Suncor Energy Co | 1,729 | 1,698 |
| 39 shares of Synovus Finl Co | 2,169 | 1,468 |
| 26 shares of Trane Technologies PLC | 2,099 | 6,341 |
| 30 shares of Target Corp | 2,434 | 4,273 |
| 38 shares of TC Energy Corp | 1,779 | 1,485 |
| 16 shares of Texas Instruments | 737 | 2,727 |
| 66 shares of Total S A ADR | 3,021 | 4,447 |
| 67 shares of US Bancorp | 2,933 | 2,900 |
| 250 shares of Unilever PLC | 6,574 | 12,120 |
| 6 shares of United Health Grp Inc | 1,444 | 3,159 |
| 111 shares of Verizon Communication | 5,694 | 4,185 |
| 53 shares of Waste Management Inc | 4,277 | 9,492 |
| 49 shares of Xcel Energy Inc Minn | 1,677 | 3,034 |
| 842 shares of Ishares TR Edge MSCI USA | 65,902 | 85,177 |
| 144 shares of Ishares MSCI EAFE ETF | 9,956 | 10,850 |
| 386 shares of Ishares MSCI EAFE Growth | 29,237 | 37,384 |
| 10 shares of Ishares TR Core S&P 500 ETF | 4,214 | 4,776 |
| 500 shares of Ishares TR EAFE Value ETF | 26,064 | 26,050 |
| 1052 shares of Ishares MSCI Emerging | 35,452 | 42,301 |
| 452 shares of Ishares S&P Mid Cap 400 | 23,090 | 35,807 |
| 108 shares of Ishares S&P Small Cap 600 | 8,506 | 13,515 |
| 1012 shares of SPDR S&P 500 ETF | 206,784 | 481,014 |
| 266 shares of Vanguard Growth ETF | 39,803 | 82,694 |
| 108 shares of Vanguard Total Stock | 13,454 | 25,620 |
| 24.917 Warner Bros Discovery Inc COM | 913 | 284 |
| 8 GE Healthcare Technologies Inc | 619 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Nondividend Distributions | 4 | 4 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Fees | 7,073 | 7,073 | 0 | 0 |
| Misc Investment Fees | 8 | 8 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Foreign Taxes | 756 | 756 | ||
| Taxes | 296 |