| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 2,625 | 1,313 | 1,312 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 64,722SH BERNSTEIN INTERMEDIATE DURATION PORTFOLIO | 740,632 | 740,632 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1,861SH AB DISCOVERY VALUE FUND | 41,312 | 41,312 |
| 2,636SH AB DISCOVERY GROWTH FUND | 29,892 | 29,892 |
| 2,252SH AB SMALL CAP CORE PORTFOLIO | 28,554 | 28,554 |
| 18SH ADOBE INC | 10,739 | 10,739 |
| 273SH ALPHABET INC | 38,474 | 38,474 |
| 166SH AMAZON.COM INC | 25,222 | 25,222 |
| 77SH AMERICAN ELECTRIC POWER | 6,254 | 6,254 |
| 26SH AMERICAN TOWER CORPORATION | 5,613 | 5,613 |
| 179SH APPLE INC | 34,463 | 34,463 |
| 7SH AUTODESK INC | 1,704 | 1,704 |
| 2SH AUTOZONE INC | 5,171 | 5,171 |
| 220SH BAKER HUGHES COMPANY | 7,520 | 7,520 |
| 246SH BANK OF AMERICA CORP | 8,283 | 8,283 |
| 30SH BOOZ ALLEN HAMILTON HOLDING | 3,837 | 3,837 |
| 8SH BROADCOM INC | 8,930 | 8,930 |
| 23SH CDW CORPORATION | 5,228 | 5,228 |
| 126SH CHARLES SCHWAB CORP | 8,669 | 8,669 |
| 37SH CHEVRON CORPORATION | 5,519 | 5,519 |
| 148SH COCA COLA COMPANY | 8,722 | 8,722 |
| 194SH COMCAST CORP | 8,507 | 8,507 |
| 17SH CONSTELLATION BRANDS INC | 4,110 | 4,110 |
| 61SH CORTEVA INC | 2,923 | 2,923 |
| 10SH COSTCO WHOLESALE CORP | 6,601 | 6,601 |
| 279SH CSX CORPORATION | 9,673 | 9,673 |
| 50SH EATON CORPORATION PLC | 12,041 | 12,041 |
| 87SH EDWARDS LIFESCIENCE CORP | 6,634 | 6,634 |
| 20SH ELEVANCE HEALTH INC | 9,431 | 9,431 |
| 76SH EOG RES INC | 9,192 | 9,192 |
| 208SH GEN DIGITAL INC | 4,747 | 4,747 |
| 27SH GOLDMAN SACHS GROUP INC | 10,416 | 10,416 |
| 23SH HCA HEALTHCARE INC | 6,226 | 6,226 |
| 32SH HOME DEPOT INC | 11,090 | 11,090 |
| 38SH HYATT HOTELS CORP | 4,956 | 4,956 |
| 26SH ILLUMINA INC | 3,620 | 3,620 |
| 47SH IQVIA HOLDINGS INC | 10,875 | 10,875 |
| 7SH KLA CORPORATION | 4,069 | 4,069 |
| 19SH LINDE PLC | 7,803 | 7,803 |
| 13SH LPL FINANCIAL HOLDINGS INC | 2,959 | 2,959 |
| 73SH LYONDELLBASELL INDUSTRIES | 6,941 | 6,941 |
| 45SH MASTEC INC | 3,407 | 3,407 |
| 127SH MEDTRONIC PLC | 10,462 | 10,462 |
| 55SH META PLATFORMS INC | 19,468 | 19,468 |
| 169SH MICROSOFT CORP | 63,551 | 63,551 |
| 95SH NEXTERA ENERGY INC | 5,770 | 5,770 |
| 72SH NIKE INC | 7,817 | 7,817 |
| 49SH NVIDIA CORP | 24,266 | 24,266 |
| 34SH NXP SEMICONDUCTORS N V | 7,809 | 7,809 |
| 122SH ORACLE CORPORATION | 12,862 | 12,862 |
| 78SH OTIS WORLDWIDE CORPORATION | 6,979 | 6,979 |
| 103SH PACCAR INC | 10,058 | 10,058 |
| 57SH PAYPAL HOLDINGS INC | 3,500 | 3,500 |
| 23SH PNC FINANCIAL SVCS GROUP INC | 3,562 | 3,562 |
| 46SH PROCTOR & GAMBLE CO | 6,741 | 6,741 |
| 84SH PROGRESSIVE CORP-OHIO | 13,380 | 13,380 |
| 64SH PROGOLIS INC | 8,531 | 8,531 |
| 53SH QUALCOMM INC | 7,665 | 7,665 |
| 10SH REGENERON PHARMACEUTICALS INC | 8,783 | 8,783 |
| 98SH RESTAURANT BRANDS | 7,657 | 7,657 |
| 220SH ROCHE HOLDINGS LTD | 7,971 | 7,971 |
| 43SH RTX CORPORATION | 3,618 | 3,618 |
| 69SH SENSATA TECHNOLOGIES | 2,592 | 2,592 |
| 7SH SERVICENOW INC | 4,945 | 4,945 |
| 151SH STELLANTIS N V | 3,521 | 3,521 |
| 61SH T MOBILE US INC | 9,780 | 9,780 |
| 12SH THERMO FISHER SCIENTIFIC INC | 6,369 | 6,369 |
| 47SH UNITEDHEALTH GROUP INC | 24,744 | 24,744 |
| 28SH VERTEX PHARMACEUTICALS INC | 11,393 | 11,393 |
| 106SH VISA INC | 27,597 | 27,597 |
| 97SH WALMART INC | 15,292 | 15,292 |
| 64SH WALT DISNEY CO | 5,779 | 5,779 |
| 18SH WATERS CORP | 5,926 | 5,926 |
| 230SH WELLS FARGO & CO | 11,321 | 11,321 |
| 87SH WESTERN DIGITAL CORP | 4,556 | 4,556 |
| 20SH WILLIS TOWERS WATSON PUBLIC | 4,824 | 4,824 |
| 14SH WORKDAY INC | 3,865 | 3,865 |
| 22SH ZOETIS INC | 4,342 | 4,342 |
| ACCRUED DIVIDEND ON CORPORATE STOCK | 820 | 820 |
| 2,080SH BERNSTEIN EMERGING MARKETS PORTFOLIO | 52,822 | 52,822 |
| 39,786SH OVERLAY A PORTFOLIO CLASS 1 | 493,345 | 493,345 |
| 35,724SH OVERLAY B PORTFOLIO CLASS 1 | 320,798 | 320,798 |
| 23,129SH AB INTERNATIONAL STRATEGIC EQI PORTFOLIO | 266,910 | 266,910 |
| 750SH BERKSHIRE HATHAWAY INC CL B | 267,495 | 267,495 |
| 1,500SH COCA COLA | 88,395 | 88,395 |
| 800SH WALT DISNEY CO | 72,232 | 72,232 |
| 500SH META PLATFORMS INC | 176,980 | 176,980 |
| 900SH MICROSOFT CORP | 338,436 | 338,436 |
| 3,446SH BLACKROCK HEALTH SCIENCE | 241,100 | 241,100 |
| 6,811SH EATON VANCE ATL CAPITAL | 220,754 | 220,754 |
| 2,250SH ISHARES MSCI INTL QUALITY | 84,510 | 84,510 |
| 18,336SH T ROWE PRICE CAPITAL | 621,780 | 621,780 |
| 500SH VANGUARD TOTAL STK MKT | 118,610 | 118,610 |
| 1,000SH VANGUARD VALUE ETF | 149,500 | 149,500 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| NEW YORK CORPORATE FEE | 150 | 0 | 150 | |
| OFFICE EXPENSES | 331 | 0 | 331 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| FEDERAL EXCISE TAX REFUND | 7,806 | 7,806 |
| Description | Amount |
|---|---|
| UNREALIZED GAIN | 549,449 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT | 43,572 | 43,572 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 1,356 | 1,356 | 0 |