| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 7,695 | 3,846 | 3,847 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 15000 KRAFT HEINZ FOODS CO | 14,352 | 14,641 |
| 13000 PHILIP MORRIS INTL INC | 13,057 | 13,031 |
| 14000 META PLATFORMS INCS | 14,220 | 14,018 |
| 14000 FL PWR & LT CO | 14,154 | 14,176 |
| 15000 AON PLC | 14,187 | 14,243 |
| 13000 CITIGROUP INC | 12,734 | 12,632 |
| 8000 DH EUROPE FIN II | 7,036 | 7,235 |
| 24000 QUEST DIAGNOSTICS INC | 26,647 | 23,915 |
| 20000 VERISIGN INC | 22,154 | 19,996 |
| 16000 ASTRAZENICA PLC | 17,848 | 15,843 |
| 23000 BK OF AMER CORP | 24,940 | 22,937 |
| 14000 REP SERVICES INC | 14,045 | 13,544 |
| 22000 ELECTR ARTS INC | 23,877 | 22,005 |
| 22000 MCCORMICK & CO | 21,567 | 21,072 |
| 11000 MORGAN STANLEY | 12,678 | 11,018 |
| 11000 SHERWIN WILLIAMS CO | 12,213 | 10,926 |
| 13000 HCA INC | 13,159 | 13,065 |
| 24000 AMGEN INC | 26,150 | 23,213 |
| 10000 FEDEX CORP | 10,927 | 9,826 |
| 22000 RLTY INCOME CORP | 22,830 | 22,053 |
| 16000 SABINE PASS LIQUEFACTION | 16,203 | 16,152 |
| 12000 TJX COS INC | 12,384 | 11,567 |
| 18000 RTX CORP | 16,890 | 17,425 |
| 18000 BP CAP MARKETS AMER | 17,767 | 17,596 |
| 14000 PROLOGIS LP | 12,695 | 13,264 |
| 11000 CONSTELLATION BRANDS INC | 12,122 | 10,691 |
| 9000 VA ELEC & PWR CO | 8,841 | 8,814 |
| 17000 PUB STORAGE | 18,187 | 16,347 |
| 16000 AMERN EXPRESS CO | 16,744 | 16,496 |
| 13000 STARBUCKS CORP | 12,115 | 12,539 |
| 21000 ORACLE CORP | 18,670 | 19,414 |
| 14000 CANADIAN PAC RY | 13,734 | 13,625 |
| 10000 CENTENE CORP | 8,764 | 8,999 |
| 17000 BK OF NY MELLON CORP | 16,594 | 16,871 |
| 16000 TMOBILE USA INC | 16,026 | 16,084 |
| 24000 MARTIN MARIETTA MATL | 23,304 | 23,276 |
| 10000 MORGAN STANLEY | 9,728 | 10,028 |
| 14000 WELLS FARGO & CO | 13,810 | 13,950 |
| 14000 ECOLAB INC | 13,996 | 14,017 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 73 COMM SERV SELECT SECTOR SPDR | 3,651 | 7,067 |
| 106 CONSUMER STAPLES SPDR | 8,549 | 8,333 |
| 68 ENERGY SELECT SECTOR | 5,008 | 5,825 |
| 79 HEALTH CARE SELECT SECTOR | 6,532 | 10,868 |
| 63 INDUSTRIAL SELECT SECTOR SPDR | 5,644 | 8,301 |
| 122 ISHARES CORE S&P 500 ETF | 27,846 | 71,819 |
| 145 ISHARES S&P 500 GROWTH ETF | 9,205 | 14,722 |
| 130.819 VANGUARD 500 INDEX-ADM | 28,301 | 71,003 |
| 18 VANGUARD CONSUMER DISCRE ETF | 4,255 | 6,757 |
| 15 VANGUARD INFO TECH ETF | 4,843 | 9,327 |
| 107 VANGUARD S&P 500 GROWTH ETF | 16,923 | 39,168 |
| 57 UTILITIES SELECT SECTOR SPDR | 3,712 | 4,314 |
| 428 FINANCIAL SELECT SECTOR SPDR | 12,474 | 20,685 |
| 175.335 FIDELITY INTL INDX-INST PRM | 8,174 | 8,335 |
| 236 ISHARES CORE MSCI EUROPE | 8,945 | 12,739 |
| 262 ISHARES MSCI CANADA ETF | 6,890 | 10,559 |
| 34 ISHARES MSCI EAFE GROWTH ETF | 2,806 | 3,292 |
| 85 ISHARES MSCI EUROPE FINANCIA | 1,763 | 1,981 |
| 64 ISHARES MSCI JAPAN ETF | 3,215 | 4,294 |
| 3004.510 ISHARES-MSCI EAFE INTL-K | 36,154 | 45,879 |
| 42 ISHARES GLOBAL HEALTHCARE ET | 2,965 | 3,611 |
| 192 ISHARES GLOBAL TECH ETF | 7,942 | 16,272 |
| 46 ISHARES MSCI PACIFIC EX JAPA | 2,173 | 2,015 |
| 65 ISHARES CORE S&P MIDCAP ETF | 3,535 | 4,050 |
| 36 FRANKLIN FTSE CANADA ETF | 1,203 | 1,318 |
| 149.016 FIDELITY 500 INDEX FUND | 26,070 | 30,428 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| ACCRUED INTEREST | 13,186 | 18,390 | 18,390 |
| Description | Amount |
|---|---|
| COST ADJUSTMENT | 5,205 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 4,862 | 4,862 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES PAID | 216 | 216 | 0 |