| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INDIRECT ACCOUNTING FEES | 750 | 750 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ADOBE 2.3% 11/1/29 | 49,822 | 48,838 |
| AMAZON 1% 5/12/26 | 36,274 | 38,252 |
| AMERICAN TOWER 4% 6/1/25 | 38,780 | 39,804 |
| AMGEN 3% 2/22/29 | 45,910 | 46,400 |
| APPLE 3.25% 2/23/26 | 38,435 | 39,482 |
| B OF A 4.827% 7/22/26 | 39,335 | 39,979 |
| BERKSHIRE 3.125% 3/15/26 | 38,349 | 39,385 |
| CHARLES SCHWAB 3.3% 4/1/27 | 41,328 | 43,725 |
| CVS HEALTH 4.1% 3/25/25 | 39,480 | 39,900 |
| DOLLAR GENERAL 4.125% 5/1/28 | 43,876 | 43,746 |
| HONEYWELL 2.7% 8/15/29 | 44,450 | 45,815 |
| JPMORGAN 3.9% 7/15/25 | 38,932 | 39,860 |
| KEURIG DR PEPPER 3.95% 4/15/29 | 47,845 | 47,879 |
| MASTERCARD 2.95% 11/21/26 | 37,851 | 38,908 |
| MERCK 2.75% 2/10/25 | 38,484 | 39,909 |
| MICROSOFT 2.4% 8/8/26 | 38,153 | 38,817 |
| NEXTERA ENERGY 2.94% 3/21/24 | ||
| QUANTA SERVICES .95% 10/1/24 | ||
| QUANTA SERVICES 2.9% 10/1/30 | 45,667 | 44,632 |
| SEMPRA USA 3.4% 2/1/28 | 28,945 | 28,661 |
| SHERWIN-WILLIAMS 4.05% 8/8/24 | ||
| SYSCO 3.75% 10/1/25 | 38,684 | 39,726 |
| UNITED HEALTH 3.45% 1/15/27 | 38,920 | 39,082 |
| WALT DISNEY 3.35% 3/24/25 | 38,784 | 39,864 |
| WASTE MANAGEMENT .75% 11/15/25 | 35,720 | 38,723 |
| ZOETIS 3% 9/12/27 | 37,218 | 38,282 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 755S GOOG | 68,709 | 143,782 |
| 960S CMCSA | 40,394 | 36,029 |
| 210S META | 60,518 | 122,957 |
| 390S DIS | 36,303 | 43,427 |
| 750S AMZN | 68,242 | 164,543 |
| 195S LOW | 37,094 | 48,126 |
| 210S TSLA | 36,430 | 84,806 |
| 485S TJX | 36,327 | 58,593 |
| 80S COST | 38,935 | 73,302 |
| 1275S KDP | 38,936 | 40,953 |
| 265S PG | 36,212 | 44,427 |
| 555S SYY | ||
| 1000S KHC | ||
| 435S COP | 45,424 | 43,139 |
| 235S AXP | 37,878 | 69,746 |
| 305S ARES | 52,220 | 53,994 |
| 275S JPM | 36,306 | 65,920 |
| 530S MS | 45,838 | 66,632 |
| 210S V | 47,276 | 66,368 |
| 175 AMGN | 38,718 | 45,612 |
| 565S AZN | 36,194 | 37,019 |
| 97S LLY | 76,581 | 74,884 |
| 415S MRK | ||
| 135S SYK | 38,352 | 48,607 |
| 85S TMO | 46,034 | 44,220 |
| 140S UNH | 64,330 | 70,820 |
| 160S CAT | ||
| 260S DOV | 36,616 | 48,776 |
| 450S EMR | 37,505 | 55,769 |
| 175S GD | 43,759 | 46,111 |
| 195S HON | ||
| 195S PWR | 31,321 | 61,630 |
| 50S TDG | 38,935 | 63,364 |
| 240S WM | 35,911 | 48,430 |
| 670S AAPL | 120,355 | 167,781 |
| 45S AVGO | ||
| 90S INTU | ||
| 495S MSFT | 122,758 | 208,643 |
| 175S NVDA | 74,060 | 235,008 |
| 280S QCOM | 46,066 | 43,014 |
| 190S CRM | 39,779 | 63,523 |
| 755S TRMB | 46,360 | 53,348 |
| 110S LIN | 39,194 | 46,054 |
| 500S SRE | 36,085 | 43,860 |
| 1900S CVM | 2,081 | 760 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT | 26,257 | 26,257 |