| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 45,759 | 11,440 | 34,319 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 130 SHS ACCENTURE PLC | 45,618 | 45,618 |
| 260 SHS ADOBE INC | 155,116 | 155,116 |
| 750 SHS ADVANCED MICRO DEVICES | 110,558 | 110,558 |
| 458 SHS AFFIRM HOLDINGS | 22,506 | 22,506 |
| 788 SHS AGILENT TECHNOLOGIES INC | 109,556 | 109,556 |
| 463 SHS AIA GROUP LTD | 16,052 | 16,052 |
| 459 SHS AIR LIQUIDE ADR | 17,878 | 17,878 |
| 276 SHS ALCONINC | 21,561 | 21,561 |
| 161 SHS ALIBABA GROUPHOLDING LIMITED ADR | 12,479 | 12,479 |
| 327 SHS ALLSTATE CORP | 45,773 | 45,773 |
| 1120 SHS ALPHABETINCCLASSA | 156,453 | 156,453 |
| 540 SHS AMAZON.COMINC | 82,048 | 82,048 |
| 575 SHS AMERICAN WATER WORKS COMPANY INC | 75,894 | 75,894 |
| 223 SHS AMGENINC | 64,228 | 64,228 |
| 2105 SHS APPLE INC | 405,276 | 405,276 |
| 567 SHS APPLIED MATERIALS INC | 91,894 | 91,894 |
| 41 SHS ASHTEAD GROUP PLC | 11,654 | 11,654 |
| 22 SHS ASML HOLDING NV | 16,652 | 16,652 |
| 1508 SHS ATLAS COPCO BADR NEWF | 22,514 | 22,514 |
| 866 SHS AXASA | 28,305 | 28,305 |
| 262 SHS BAKER HUGHES COMPANY | 8,955 | 8,955 |
| 831 SHS BANK OF AMERICA CORP | 27,980 | 27,980 |
| 1081 SHS BARRATT DEVELOPMENTS UNSPADREAREPR2ORDSHARES | 15,545 | 15,545 |
| 131 SHS BERKSHIRE HATHAWAY INC CLASS B | 46,722 | 46,722 |
| 566 SHS BAXTER INTERNATIONAL INC | 21,882 | 21,882 |
| 61 SHS BIONTECH SESPONADS EACHREP 1ORD SHS | 6,438 | 6,438 |
| 313 SHS BYD CO LTD UNSP/ADR | 17,300 | 17,300 |
| 556 SHS CAMPBELL SOUP CO | 24,036 | 24,036 |
| 202 SHS CATALENTINC | 9,076 | 9,076 |
| 2178 SHS CISCO SYSTEMSINC | 110,032 | 110,032 |
| 41 SHS CBRE GROUPINC | 3,817 | 3,817 |
| 790 SHS CELLNEX TELECOM SAUUNSPONADR EACHREP 0.5ORD SHS | 15,516 | 15,516 |
| 213 SHS COINBASE | 37,045 | 37,045 |
| 117 SHS CONFLUENT INC COM | 2,738 | 2,738 |
| 1521 SHS CONOCO PHILLIPS | 176,541 | 176,541 |
| 317 SHS CRODA INTL PLC | 10,550 | 10,550 |
| 186 SHS CSLLTD SPONSORED ADR | 18,074 | 18,074 |
| 373 SHS CUMMINS INC | 89,360 | 89,360 |
| 1133 SHS DAIKIN INDS LTD | 18,321 | 18,321 |
| 356 SHS DANAHER CORP | 82,357 | 82,357 |
| 891 SHS DANONE ADR | 11,538 | 11,538 |
| 1552 SHS DEUTSCHE TELEKOM ADR | 37,450 | 37,450 |
| 510 SHS DISCOVER FINANCIAL SERVICES | 57,324 | 57,324 |
| 1147 SHS DNBASA | 24,408 | 24,408 |
| 1030 SHS EATON CORP PLC | 248,044 | 248,044 |
| 407 SHS ECOLAB INC | 80,728 | 80,728 |
| 64 SHS ELEVANCE HEALTH INC | 30,180 | 30,180 |
| 816 SHS EXACT SCIENCES CORP | 60,368 | 60,368 |
| 8562.148 SHS FEDERATED ADVISERSER EMERGING MKTS EQUITY FDCLI | 117,130 | 117,130 |
| 32236.187 SHS FEDERATED HERMES TOTAL RETURN BOND IS | 308,823 | 308,823 |
| 85593.328 SHS FEDERATED HERMES ULTRASHORT BOND IS | 784,891 | 784,891 |
| 250000 SHS FHLMCA 171675.50% 12/1/2033 | 1,455 | 1,455 |
| 40000 SHS FHLMC MULTICLASS MTG PARTNCTFSGTDSER3575CLEB4.00% 9/15/2024 | 188 | 188 |
| 120000 SHS FHLMC POOL #G0-6.00% 4/1/2033 | 383 | 383 |
| 847 SHS FMC CORP | 53,403 | 53,403 |
| 155000 SHS FNMA 2.50% 9/25/2040 | 1,511 | 1,511 |
| 283493 SHS FNMA POOL #5555915.50% 7/1/2033 | 1,889 | 1,889 |
| 300000 SHS FNMA POOL 7771396.00% 6/1/2034 | 1,173 | 1,173 |
| 842 SHS GEN DIGITAL INC | 19,214 | 19,214 |
| 973 SHS GENERAL MILLS INC | 63,381 | 63,381 |
| 180000 SHS GNMAPOOL #5941105.00% 9/15/2033 | 3,075 | 3,075 |
| 100000 SHS GNMAREMICSER 2012-59CLNE2.50% 1/20/2042 | 243 | 243 |
| 1449 SHS HANG LUNG PPTYSS/ADR | 10,085 | 10,085 |
| 147 SHS HANNOVER READR | 17,574 | 17,574 |
| 204 SHS HDFC BANK LTD ADR | 13,690 | 13,690 |
| 937 SHS HENKEL KGAASPADR | 16,913 | 16,913 |
| 390 SHS HILTON WORLDWIDE HOLDINGS INC | 71,015 | 71,015 |
| 480 SHS HOME DEPOTINC | 166,344 | 166,344 |
| 148 SHS HOYA CORPSPONS ADR | 18,429 | 18,429 |
| 1622 SHS HP INC | 48,806 | 48,806 |
| 3731 SHS HUDSON PAC PPTYS INC | 34,736 | 34,736 |
| 70 SHS ILLUMINAINC | 9,747 | 9,747 |
| 843 SHS INDUSTRIA DEDISENO | 18,453 | 18,453 |
| 388 SHS INFINEON TECHNOLOGIES AG | 16,238 | 16,238 |
| 2084 SHS ING GROUP NVADR | 31,302 | 31,302 |
| 695 SHS INGERSOLL RAND INC | 53,751 | 53,751 |
| 697 SHS INTEL CORP | 35,024 | 35,024 |
| 482 SHS INTERCONTINENTAL EXCHANGE INC | 61,903 | 61,903 |
| 454 SHS INTL FLAVORS & FRAGRANCES | 36,760 | 36,760 |
| 93 SHS INTUIT INC | 58,128 | 58,128 |
| 3462 SHS ISHARES ESGMSCIEAFEETF | 261,519 | 261,519 |
| 16300 SHS ISHARES ESGMSCIEMETF | 522,578 | 522,578 |
| 10379 SHS ISHARES KLD400 SOCIAL INDEX | 945,008 | 945,008 |
| 9501.081 SHS JOHCM INTERNATIONAL SELECTI | 220,235 | 220,235 |
| 741 SHS JPMORGAN CHASE & CO. | 126,044 | 126,044 |
| 33330.83 SHS JPMORGAN STRATEGIC INCOME OPPORTUNITIESI | 380,305 | 380,305 |
| 203 SHS KERRYGROUP PLCS/ADR | 17,760 | 17,760 |
| 21 SHS KEYENCE CORP | 9,255 | 9,255 |
| 851 SHS KONINKLIJKE AHOLD DELHAIZE NV | 24,424 | 24,424 |
| 1281 SHS LAZARD ASSAABLOY SPONADR | 18,421 | 18,421 |
| 275 SHS LOREAL CO ADR | 27,338 | 27,338 |
| 612 SHS LOWE'S COMPANIES INC | 136,201 | 136,201 |
| 177 SHS MACQUARIE BKLTDADR | 22,106 | 22,106 |
| 360 SHS MARATHON PETROLEUM CORP | 53,410 | 53,410 |
| 478 SHS MASTERCARD INC | 203,872 | 203,872 |
| 529 SHS MEDTRONIC PLC | 43,579 | 43,579 |
| 855 SHS MERCEDES BENZ GROUP AGADR | 14,740 | 14,740 |
| 259 SHS META PLATFORMS INC | 91,676 | 91,676 |
| 1729 SHS MICROSOFT CORP | 650,173 | 650,173 |
| 15508.672 SHS MIROVA GLOBAL GREEN BOND CLASS Y | 132,444 | 132,444 |
| 2200 SHS MITSUBISHI UFJFINL GROUP | 18,942 | 18,942 |
| 29 SHS MODERNA INC COM | 2,884 | 2,884 |
| 418 SHS MOSAIC CO | 14,935 | 14,935 |
| 1330 SHS MURATA MANUFACTURING | 14,038 | 14,038 |
| 1046 SHS NEWMONT CORPORATION | 43,294 | 43,294 |
| 149 SHS NOVOZYMESA/SADR | 8,181 | 8,181 |
| 265 SHS NRG ENERGY INC | 13,701 | 13,701 |
| 250 SHS NVIDIA CORP | 123,805 | 123,805 |
| 1290 SHS OMNICOM GROUPINC | 111,598 | 111,598 |
| 1187 SHS ORACLE CORPORATION | 125,145 | 125,145 |
| 284 SHS ORIX CORPORATION ADR | 26,523 | 26,523 |
| 1420 SHS OVERSEA-CHINESEADR | 27,846 | 27,846 |
| 15153.661 SHS PARNASSUS FIXED INCOME INSTL | 225,638 | 225,638 |
| 15439.526 SHS PARNASSUS MID CAPINSTL | 577,747 | 577,747 |
| 973 SHS PEPSICO INCORPORATED | 165,254 | 165,254 |
| 15 SHS PIONEER NATURAL RESOURCES CO | 3,373 | 3,373 |
| 297 SHS PPG INDUSTRIES INC | 44,416 | 44,416 |
| 43636.155 SHS PRAXIS IMPACT BONDI | 410,180 | 410,180 |
| 1615 SHS PROSUS NVF UNSPONSORED ADR1ADR REPS1ORDSHS | 9,609 | 9,609 |
| 1019 SHS PRYSMIAN SPAADR | 23,213 | 23,213 |
| 926 SHS PTBK RAKYAT | 16,964 | 16,964 |
| 525 SHS PVH CORP | 64,113 | 64,113 |
| 216 SHS RELXPLCA DR | 8,567 | 8,567 |
| 34 SHS RES MED INC | 5,849 | 5,849 |
| 714 SHS REXEL SAADR | 19,806 | 19,806 |
| 548 SHS ROSS STORES INC | 75,838 | 75,838 |
| 278 SHS S&P GLOBAL INC | 122,465 | 122,465 |
| 192 SHS SAGEGROUP ADR | 11,516 | 11,516 |
| 128 SHS SALESFORCE INC | 33,682 | 33,682 |
| 924 SHS SAMPOOYJ ADR | 20,180 | 20,180 |
| 136 SHS SAP SE ADR | 21,024 | 21,024 |
| 736 SHS SCHNEIDER ELECTRIC SE | 29,609 | 29,609 |
| 480 SHS SHIMANO INC ADR | 7,402 | 7,402 |
| 526 SHS SINGAPORE TELECOMMUNICATIONS LTD SPONS ADR | 9,831 | 9,831 |
| 223 SHS SMITH & NEPHEW PLC | 6,083 | 6,083 |
| 613 SHS SONIC HEALTHCARE LTD | 13,333 | 13,333 |
| 236 SHS SONOVA HOLDING AGADR | 15,417 | 15,417 |
| 204 SHS SONY GROUP CORPORATION ADR | 19,317 | 19,317 |
| 606 SHS SOUTHWEST AIRLINES CO | 17,501 | 17,501 |
| 4261 SHS SPDR PORTFOLIO DEVELOPED WLDEX-US | 144,917 | 144,917 |
| 1178 SHS SSEPLC | 28,296 | 28,296 |
| 340 SHS STARBUCKS CORP | 32,643 | 32,643 |
| 272 SHS STATE STREET CORP | 21,069 | 21,069 |
| 260 SHS SWISS COM AG | 15,647 | 15,647 |
| 235 SHS TDK CORP ADR | 11,120 | 11,120 |
| 203 SHS TESLA INC | 50,441 | 50,441 |
| 487 SHS TEXAS INSTRUMENTS INC | 83,014 | 83,014 |
| 362 SHS THE CIGNA GROUP | 108,401 | 108,401 |
| 398 SHS THE HERSHEY COMPANY | 74,203 | 74,203 |
| 57268.289 SHS TIAA-CREF CORE IMPACT BOND | 515,987 | 515,987 |
| 599 SHS TJX COMPANIES INC | 56,192 | 56,192 |
| 739 SHS TRANE TECHNOLOGIES PLC | 180,242 | 180,242 |
| 329 SHS UGI CORP | 8,093 | 8,093 |
| 573 SHS UNILEVER PLCADR | 27,779 | 27,779 |
| 111 SHS UNION PACIFIC CORP | 27,264 | 27,264 |
| 232 SHS UNITED PARCEL SERVICE INC | 36,477 | 36,477 |
| 413 SHS VENTAS INC | 20,584 | 20,584 |
| 998 SHS VEOLIA ENVIRONNEMENT ADR | 15,750 | 15,750 |
| 118 SHS VERALTO CORP COM | 9,707 | 9,707 |
| 200 SHS VERISK ANALYTICS INC | 47,772 | 47,772 |
| 13746.836 SHS VERSUS CAPITAL MULTI-MANAGER REAL ESTATE INCOME FUND LLC | 354,531 | 354,531 |
| 10556.883 SHS VERSUS CAPITAL REAL ASSETS FUND | 293,059 | 293,059 |
| 1930 SHS VESTAS WIND SYSTEMS ADR | 20,246 | 20,246 |
| 722 SHS VIS AINC | 187,973 | 187,973 |
| 788 SHS VOLVO(AB)UNSP ADR EACH REP 1 ORDSHS | 20,445 | 20,445 |
| 599 SHS WALMART INC | 94,432 | 94,432 |
| 954 SHS WEYERHAEUSER INC | 33,171 | 33,171 |
| 556 SHS XCEL ENERGY INC | 34,422 | 34,422 |
| 800 SHS XYLEM INC | 91,488 | 91,488 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INSURANCE | 874 | 0 | 874 |
| Description | Amount |
|---|---|
| UNREALIZED GAIN | 1,783,990 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT FEES | 77,202 | 77,202 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| NET INVESTMENT EXCISE TAXES | 7,572 | 0 | 0 | |
| FOREIGN TAXES | 3,769 | 0 | 0 |