| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| RICHARD NEWMARK CPA-ACCOUNTING F | 3,250 | 3,250 |
| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| CORPORATION AMER ARPTS A COM | 2019-03 | PURCHASE | 2023-03 | 6,224 | 5,363 | 861 | ||||
| CORPORATION AMER ARPTS A COM | 2019-03 | PURCHASE | 2023-03 | 12,318 | 10,597 | 1,721 | ||||
| G E HEALTHCARE TECH | 2017-12 | PURCHASE | 2023-01 | 19 | 29 | -10 | ||||
| CREDIT SUISSE GROUP | 2016-10 | PURCHASE | 2023-05 | 2,141 | 33,311 | -31,170 | ||||
| CORPORATION AMER ARPTS A COM | 2019-03 | PURCHASE | 2023-06 | 10,807 | 7,980 | 2,827 | ||||
| CORPORATION AMER ARPTS A COM | 2019-03 | PURCHASE | 2023-06 | 10,807 | 8,465 | 2,342 | ||||
| CORPORATION AMER ARPTS A COM | 2019-03 | PURCHASE | 2023-07 | 14,014 | 8,465 | 5,549 | ||||
| CORPORATION AMER ARPTS A COM | 2019-08 | PURCHASE | 2023-08 | 14,084 | 5,095 | 8,989 | ||||
| CORPORATION AMER ARPTS A COM | 2019-08 | PURCHASE | 2023-08 | 13,794 | 5,094 | 8,700 | ||||
| CORPORATION AMER ARPTS A COM | 2019-11 | PURCHASE | 2023-10 | 24,834 | 8,320 | 16,514 | ||||
| MOTOROLA SOLUTIONS | 2008-07 | PURCHASE | 2023-10 | 60,140 | 6,260 | 53,880 | ||||
| MOYOROLA SOLUTIONS | 2008-10 | PURCHASE | 2023-10 | 80,112 | 8,247 | 71,865 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 500SHARES-MOTOROLA SOLUTIONS | ||
| 1667 SHARES-AGENUS INC | 58,151 | 1,380 |
| 5000 SHARES EMC CORP | ||
| 5000 SHARES FORD MOTOR CO | 25,305 | 60,950 |
| 833 SHARES-AGENUS INC | 15,903 | 685 |
| 1000 SHARES-J P MORGAN CHASE | 33,223 | 170,100 |
| 4000 SHARES-FREEPORT-MCMORAN | 48,085 | 170,280 |
| 20000 SHARES-AVON | ||
| 10000 SHARES-MFC BANCORP | ||
| 4000 SHARES-HUNTSMAN CORP | 67,546 | 100,520 |
| 2500 SHARES-CREDIT SUISSE | ||
| 2000 SHARES-NUTRIEN LTD | ||
| 10000 SHARES-MFC BANCORP | ||
| 6000 SHARES-VODAFONE | ||
| 3500 SHARES-ASTRAZENECA | 90,475 | 235,725 |
| 1000 SHARES-TWITTER | ||
| 25000 SHARES-B T GROUP PLC | 96,490 | 39,392 |
| 5000 SHARES-INTL GAME TECHNOLOGY | 92,145 | 137,050 |
| 5000 SHARES-AVON PRODUCTS | ||
| 3000 SHARES-GLAXOSMITHKLINE | ||
| 6000 SHARES-VIACOM INC | ||
| 2500 SHARES-AGENUS INC | 9,050 | 2,070 |
| 625 SHARES-GENERAL ELECTRIC | 28,241 | 79,769 |
| 23200 SHARES-SCULLY ROYALTY LTD | 123,329 | 141,520 |
| 31000 SHARES-AGENUS INC | 50,950 | 25,668 |
| 19200 SHARES-MFC BANCORP | ||
| 1000 SHARES-TWITTER | ||
| 2000 SHARES-GLAXOSMITHKLINE | 77,876 | 74,120 |
| 1000 SHARES-GENERAL ELECTRIC | 110,622 | 127,629 |
| 1500 SHARES-GENERAL MILLS | 61,650 | 97,710 |
| 1500 SHARES-XEROX CORP | 39,101 | 27,495 |
| 2000 SHARES-APPLE,INC | 87,894 | 385,060 |
| 2000 SHARES-APPLE,INC. | 77,588 | 385,060 |
| 2000 SHARES-GENERAL MILLS | ||
| 1500 SHARES-XEROX | 32,842 | 27,495 |
| 20000 SHARES-B T GROUP PLC | 61,536 | 31,514 |
| 5000 SHARES-AVON | ||
| 2000 SHARES-APPLE,INC. | 85,545 | 385,060 |
| 2000 SHARES-VODAPHONE GROUP | 36,960 | 17,400 |
| 3000 SHARES-NEWELL BRANDS INC | 48,495 | 26,040 |
| 5000 SHARES-INTL GAME TECHNOLOGY | 79,369 | 137,050 |
| 8000 SHARES-AMER ARPTS A COMMON | 27,466 | 128,480 |
| 5000 SHARES-KRAFT HEINZ | 140,284 | 184,900 |
| 30000 SHARES-PIXEL WORKS | 110,635 | 39,300 |
| 4000 SHARES-NEWELL BRANDS | 74,965 | 34,720 |
| 500 SHARES-GENERAL ELECTRIC | 45,412 | 63,814 |
| 15000 SHARES-PARAMOUNT GLOBAL | 557,839 | 221,850 |
| FIDELITY INVST MMKT 1 | 957,181 | 957,181 |
| MANAGED ACCOUNT | ||
| 3000 SHARES-WELLS FARGO | 99,833 | 147,660 |
| 3500 SHS-NATURA | 50,897 | 23,940 |
| 3000 SHARES-VODAPHONE GROUP | 47,815 | 26,100 |
| 4000 SHARES-GLAXOSMITHKLINE | 161,580 | 148,240 |
| 14000 SHARES-AGENUS | 65,947 | 11,592 |
| 5000 SHARES-VODAFONE | 95,459 | 43,500 |
| 20000 SHARES-SCULLY ROYALTY LTD | 276,982 | 122,000 |
| 375 SHARES-GENERAL ELECTRIC | 39,242 | 47,861 |
| 2000 SHARES-NAVITASSEMICONDUCTER COR | 33,986 | 16,140 |
| 4000 SHARES- NAVITASSEMICONDUTER | 39,873 | 32,280 |
| 10000 SHARES-HALEON | 69,210 | 82,300 |
| 833 SHARES-G E HEALTHCARE TECH | 58,924 | 64,408 |
| 730 SHARES-MINK THERAPEUTICS | 1,613 | 781 |
| 3000 SHARES-NEWELL BRANDS | 29,073 | 26,040 |
| 5000 SHARES-NEWELL BRANDS | 40,331 | 43,400 |
| Description | Amount |
|---|---|
| RETURN OF CAPITAL | 1,074 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 485 | 485 | ||
| TRUSTEE FEES | 50,000 | 50,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL TAX | 2,800 | 2,800 | ||
| MA TAXES | 125 | 125 |