| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TAX RETURN PREPARATION | 7,899 | 0 | 7,899 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| AMAZON.COM INC GLB 3.600% 04/13/32 (023135CH7) 10,000 QTY | 9,452 | 9,256 |
| AMERICAN EXPRESS CO 5.850% 11/05/27 (025816DB2) 5,000 QTY | 5,002 | 5,155 |
| ANHEUSER-BUSCH INBEV FIN COMPANY 4.900% 02/01/46 (035242AN6) 2,000 QTY | 2,246 | 1,808 |
| BP CAP MARKETS AMERICA COMPANY GUARNT 4.234% 11/06/28 (10373QAE0) 5,000 QTY | 5,050 | 4,895 |
| CITIGROUP INC 3.200% 10/21/26 (172967KY6) 10,000 QTY | 9,745 | 9,725 |
| CVS HEALTH CORP GLB 4.300% 03/25/28 (126650CX6) 5,000 QTY | 5,347 | 4,845 |
| FISERV INC GLB 3.200% 07/01/26 (337738AT5) 3,000 QTY | 3,040 | 2,934 |
| GOLDMAN SACHS GROUP INC GLB 3.500% 11/16/26 (38145GAH3) 10,000 QTY | 10,037 | 9,777 |
| GOLDMAN SACHS GROUP INC GLB VAR% 03/09/27 (38141GYA6) 4,000 QTY | 3,885 | 3,840 |
| JPMORGAN CHASE & CO GLB VAR% 04/22/31 (46647PBL9) 10,000 QTY | 10,011 | 8,810 |
| JPMORGAN CHASE & CO VAR% 01/23/35 (46647PEC6) 5,000 QTY | 5,027 | 4,968 |
| MICROSOFT CORP GLB 3.125% 11/03/25 (594918BJ2) 5,000 QTY | 5,006 | 4,948 |
| MORGAN STANLEY SER GMTN GLB 3.875% 01/27/26 (61746BDZ6) 7,000 QTY | 7,095 | 6,946 |
| MORGAN STANLEY VAR% 11/01/29 (61747YFH3) 5,000 QTY | 5,146 | 5,223 |
| QUALCOMM INC GLB 2.150% 05/20/30 (747525BK8) 10,000 QTY | 9,625 | 8,777 |
| UNITEDHEALTH GROUP INC GLB 5.625% 07/15/2054 (91324PFL1) 3,000 QTY | 3,223 | 2,911 |
| US BANCORP GLB 1.450% 05/12/25 (91159HHZ6) 5,000 QTY | 4,621 | 4,943 |
| VERIZON COMMUNICATIONS GLB 2.650% 11/20/40 (92343VFT6) 5,000 QTY | 4,224 | 3,419 |
| VERIZON COMMUNICATIONS GLB 4.329% 09/21/28 (92343VER1) 5,000 QTY | 5,411 | 4,897 |
| WELLS FARGO & CO SER MTN GLB VAR% 07/25/33 (95000U3B7) 10,000 QTY | 9,688 | 9,658 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| A N S Y S INC (ANSS) 5.000 SHARES | 1,033 | 1,687 |
| ABBOTT LABS (ABT) 87.000 SHARES | 9,601 | 9,841 |
| ABBVIE INC (ABBV) 82.000 SHARES | 10,456 | 14,571 |
| ACCENTURE PLC SHS (ACN) 28.000 SHARES | 4,543 | 9,850 |
| AIR PRODUCTS&CHEM (APD) 20.000 SHARES | 5,225 | 5,801 |
| ALEXANDRIA REAL EST EQTS (ARE) 9.000 SHARES | 1,314 | 878 |
| ALIBABA GROUP HOLDING LT (BABA) 20.000 SHARES | 2,813 | 1,696 |
| ALPHABET INC SHS CL A (GOOGL) 46.000 SHARES | 4,665 | 8,708 |
| ALPHABET INC SHS CL C (GOOG) 40.000 SHARES | 4,170 | 7,618 |
| AMAZON COM INC (AMZN) 77.000 SHARES | 11,014 | 16,893 |
| AMER EXPRESS COMPANY (AXP) 52.000 SHARES | 5,463 | 15,433 |
| AMERICAN TOWER REIT INC (AMT) 31.000 SHARES | 5,623 | 5,686 |
| AMETEK INC (AME) 12.000 SHARES | 2,039 | 2,163 |
| AMPHENOL CORP CL A (APH) 88.000 SHARES | 5,433 | 6,112 |
| ANALOG DEVICES INC (ADI) 27.000 SHARES | 3,829 | 5,736 |
| APPLE INC (AAPL) 101.000 SHARES | 11,150 | 25,292 |
| ARCH CAPITAL GRP LTD BM (ACGL) 65.000 SHARES | 3,330 | 6,003 |
| ARES MANAGEMENT CORP - A (ARES) 47.000 SHARES | 6,233 | 8,320 |
| AUTODESK INC DEL PV$0.01 (ADSK) 37.000 SHARES | 8,349 | 10,936 |
| AVALONBAY CMMUN INC (AVB) 9.000 SHARES | 1,913 | 1,980 |
| BANK NEW YORK MELLON (BK) 24.000 SHARES | 1,924 | 1,844 |
| BECTON DICKINSON CO (BDX) 12.000 SHARES | 2,847 | 2,722 |
| BLACKROCK INC (BLK) 4.000 SHARES | 2,761 | 4,100 |
| BLACKSTONE INC (BX) 26.000 SHARES | 3,651 | 4,483 |
| BLOCK INC (SQ) 36.000 SHARES | 3,419 | 3,060 |
| BOEING COMPANY (BA) 64.000 SHARES | 10,762 | 11,328 |
| BRISTOL-MYERS SQUIBB CO (BMY) 91.000 SHARES | 5,800 | 5,147 |
| BROADCOM INC (AVGO) 66.000 SHARES | 3,202 | 15,301 |
| BROOKFIELD ASSET MGMT INC (BN) 263.000 SHARES | 9,454 | 15,109 |
| BROOKFIELD ASSET MGMT INC CL A (BAM) 49.000 SHARES | 1,190 | 2,655 |
| BROOKFIELD INFRASTRUCTURE CORP CL A (BIPC) 204.000 SHARES | 7,586 | 8,162 |
| BROOKFIELD RENEWABLE CORP EXCH RE CL A (BEPC) 81.000 SHARES | 3,092 | 2,240 |
| BROWN & BROWN INC FLA (BRO) 96.000 SHARES | 5,210 | 9,794 |
| CAPITAL ONE FINL (COF) 23.000 SHARES | 3,350 | 4,101 |
| CARMAX INC (KMX) 63.000 SHARES | 4,628 | 5,151 |
| CBRE GROUP INC CL A (CBRE) 54.000 SHARES | 3,638 | 7,090 |
| CCC INTELLIGENT SOLUTIONS HLDGS INC (CCCS) 250.000 SHARES | 2,894 | 2,933 |
| CENCORA INC (COR) 8.000 SHARES | 1,032 | 1,797 |
| CHEVRON CORP (CVX) 80.000 SHARES | 11,913 | 11,587 |
| CHUBB LTD (CB) 10.000 SHARES | 1,716 | 2,763 |
| CIGNA CORP (CI) 11.000 SHARES | 3,088 | 3,038 |
| CME GROUP INC (CME) 9.000 SHARES | 1,664 | 2,090 |
| CMS ENERGY CORP (CMS) 30.000 SHARES | 1,555 | 2,000 |
| COCA COLA COM (KO) 48.000 SHARES | 2,761 | 2,988 |
| COMCAST CORP NEW CL A (CMCSA) 261.000 SHARES | 11,231 | 9,795 |
| CONOCOPHILLIPS (COP) 69.000 SHARES | 4,998 | 6,843 |
| COPART INC (CPRT) 240.000 SHARES | 9,150 | 13,774 |
| CORNING INC (GLW) 61.000 SHARES | 1,930 | 2,899 |
| COSTAR GROUP INC (CSGP) 118.000 SHARES | 9,582 | 8,448 |
| CVS HEALTH CORP (CVS) 51.000 SHARES | 3,733 | 2,289 |
| DEERE CO (DE) 15.000 SHARES | 4,883 | 6,356 |
| DISNEY (WALT) CO (DIS) 63.000 SHARES | 7,349 | 7,015 |
| DOMINION ENERGY INC (D) 60.000 SHARES | 3,692 | 3,232 |
| DOMINOS PIZZA INC (DPZ) 12.000 SHARES | 4,396 | 5,037 |
| DOVER CORP (DOV) 25.000 SHARES | 3,274 | 4,690 |
| EATON CORP PLC (ETN) 33.000 SHARES | 5,148 | 10,952 |
| ELEVANCE HEALTH INC (ELV) 11.000 SHARES | 3,862 | 4,058 |
| ELI LILLY & CO (LLY) 4.000 SHARES | 824 | 3,088 |
| ENTEGRIS INC MINNESOTA (ENTG) 10.000 SHARES | 1,090 | 991 |
| EOG RESOURCES INC (EOG) 38.000 SHARES | 2,949 | 4,658 |
| EXPEDITORS INTL WASH INC (EXPD) 24.000 SHARES | 1,890 | 2,658 |
| EXXON MOBIL CORP (XOM) 92.000 SHARES | 10,356 | 9,896 |
| FACTSET RESH SYS INC (FDS) 6.000 SHARES | 1,602 | 2,882 |
| FAIR ISAAC CORPORATION (FICO) 5.000 SHARES | 7,646 | 9,955 |
| FASTENAL COMPANY (FAST) 44.000 SHARES | 1,775 | 3,164 |
| FLOOR AND DECOR HLDGS INC (FND) 9.000 SHARES | 939 | 897 |
| GALLAGHER ARTHUR J & CO (AJG) 21.000 SHARES | 3,644 | 5,961 |
| GARTNER INC (IT) 13.000 SHARES | 3,466 | 6,298 |
| GENL DYNAMICS CORP (GD) 18.000 SHARES | 3,891 | 4,743 |
| GOLDMAN SACHS GROUP INC (GS) 5.000 SHARES | 2,938 | 2,863 |
| GRACO INC (GGG) 15.000 SHARES | 1,241 | 1,264 |
| HARTFORD FINL SVCS GROUP (HIG) 6.000 SHARES | 401 | 656 |
| HEICO CORPORATION CL A (HEIA) 69.000 SHARES | 9,624 | 12,840 |
| HERSHEY COMPANY (HSY) 11.000 SHARES | 2,092 | 1,863 |
| HILTON WORLDWIDE HOLDINGS INC (HLT) 56.000 SHARES | 7,729 | 13,841 |
| HOME DEPOT INC (HD) 12.000 SHARES | 3,649 | 4,668 |
| HONEYWELL INTL INC DEL (HON) 38.000 SHARES | 7,937 | 8,584 |
| HYATT HOTELS CORP (H) 17.000 SHARES | 1,136 | 2,669 |
| IDEXX LAB INC DEL $0.10 (IDXX) 4.000 SHARES | 1,368 | 1,654 |
| ILLUMINA INC (ILMN) 20.000 SHARES | 5,194 | 2,673 |
| INTL BUSINESS MACHINES CORP (IBM) 11.000 SHARES | 1,341 | 2,418 |
| INTUITIVE SURGICAL INC (ISRG) 7.000 SHARES | 1,277 | 3,654 |
| JOHNSON AND JOHNSON (JNJ) 31.000 SHARES | 4,998 | 4,483 |
| JPMORGAN CHASE & CO (JPM) 47.000 SHARES | 6,217 | 11,266 |
| KKR & CO INC CL A (KKR) 102.000 SHARES | 7,341 | 15,087 |
| LENNAR CORP CL A (LEN) 33.000 SHARES | 1,947 | 4,500 |
| LIBERTY MEDIA CORP REG SHS SER A (FWONA) 20.000 SHARES | 1,206 | 1,681 |
| LIBERTY MEDIA CORP REG SHS SER C (FWONK) 43.000 SHARES | 1,356 | 3,984 |
| LINDE PLC REG SHS (LIN) 20.000 SHARES | 3,340 | 8,373 |
| LIVE NATION ENT INC (LYV) 59.000 SHARES | 3,513 | 7,641 |
| LOWE'S COMPANIES INC (LOW) 46.000 SHARES | 9,701 | 11,353 |
| MARKEL CORP (MKL) 5.000 SHARES | 6,035 | 8,631 |
| MARSH & MCLENNAN COS INC (MMC) 36.000 SHARES | 3,770 | 7,647 |
| MARTIN MARIETTA MATLS (MLM) 14.000 SHARES | 5,730 | 7,231 |
| MASTERCARD INC (MA) 17.000 SHARES | 6,405 | 8,952 |
| MCDONALDS CORP (MCD) 40.000 SHARES | 10,344 | 11,596 |
| MEDTRONIC PLC SHS (MDT) 32.000 SHARES | 3,307 | 2,556 |
| MERCK AND CO INC SHS (MRK) 29.000 SHARES | 2,493 | 2,885 |
| META PLATFORMS INC (META) 34.000 SHARES | 3,603 | 19,907 |
| METLIFE INC (MET) 19.000 SHARES | 1,116 | 1,556 |
| MICROCHIP TECHNOLOGY INC (MCHP) 103.000 SHARES | 7,473 | 5,907 |
| MICROSOFT CORP (MSFT) 92.000 SHARES | 25,877 | 38,778 |
| MONDELEZ INTERNATIONAL INC (MDLZ) 97.000 SHARES | 5,681 | 5,794 |
| MONSTER BEVERAGE SHS (MNST) 111.000 SHARES | 4,340 | 5,834 |
| MOODY'S CORP (MCO) 5.000 SHARES | 1,409 | 2,367 |
| MORGAN STANLEY (MS) 55.000 SHARES | 4,127 | 6,915 |
| MOTOROLA SOLUTIONS INC (MSI) 21.000 SHARES | 3,365 | 9,707 |
| MSCI INC CLASS A (MSCI) 11.000 SHARES | 5,032 | 6,600 |
| NETFLIX COM INC (NFLX) 17.000 SHARES | 3,038 | 15,152 |
| NEXTERA ENERGY INC SHS (NEE) 145.000 SHARES | 9,611 | 10,395 |
| NIKE INC CL B (NKE) 30.000 SHARES | 2,281 | 2,270 |
| NORFOLK SOUTHERN CORP (NSC) 25.000 SHARES | 5,452 | 5,868 |
| NORTHROP GRUMMAN CORP (NOC) 12.000 SHARES | 5,758 | 5,631 |
| NOVARTIS ADR (NVS) 26.000 SHARES | 2,272 | 2,530 |
| NOVO NORDISK A S ADR (NVO) 77.000 SHARES | 5,294 | 6,624 |
| NVIDIA (NVDA) 183.000 SHARES | 3,262 | 24,575 |
| NXP SEMICONDUCTORS N.V. (NXPI) 12.000 SHARES | 2,202 | 2,494 |
| ORACLE CORP $0.01 DEL (ORCL) 76.000 SHARES | 4,212 | 12,665 |
| O'REILLY AUTOMOTIVE INC (ORLY) 11.000 SHARES | 7,006 | 13,044 |
| PACKAGING CORP AMERICA (PKG) 6.000 SHARES | 601 | 1,351 |
| PARKER HANNIFIN CORP (PH) 5.000 SHARES | 1,485 | 3,180 |
| PAYPAL HOLDINGS INC (PYPL) 28.000 SHARES | 2,679 | 2,390 |
| PEPSICO INC (PEP) 40.000 SHARES | 5,279 | 6,082 |
| PERIMETER SOLUTIONS (PRM) 101.000 SHARES | 1,169 | 1,291 |
| PHILIP MORRIS INTL INC (PM) 97.000 SHARES | 8,356 | 11,674 |
| PNC FINCL SERVICES GROUP (PNC) 26.000 SHARES | 3,307 | 5,014 |
| PPG INDUSTRIES INC SHS (PPG) 14.000 SHARES | 1,867 | 1,672 |
| PROCORE TECHNOLOGIES INC (PCOR) 23.000 SHARES | 1,956 | 1,723 |
| PROCTER & GAMBLE CO (PG) 26.000 SHARES | 3,762 | 4,359 |
| PROGRESSIVE CRP OHIO (PGR) 23.000 SHARES | 2,627 | 5,511 |
| PROLOGIS INC (PLD) 77.000 SHARES | 8,838 | 8,139 |
| PUB SVC ENTERPRISE GRP (PEG) 30.000 SHARES | 1,742 | 2,535 |
| QUALCOMM INC (QCOM) 25.000 SHARES | 2,314 | 3,840 |
| REGENERON PHARMACTCLS (REGN) 7.000 SHARES | 4,090 | 4,986 |
| REPUBLIC SERVICES INC (RSG) 10.000 SHARES | 1,323 | 2,012 |
| ROCHE HLDG LTD (RHHBY) 64.000 SHARES | 2,793 | 2,232 |
| ROPER TECHNOLOGIES INC (ROP) 14.000 SHARES | 5,420 | 7,278 |
| ROSS STORES INC (ROST) 12.000 SHARES | 1,310 | 1,815 |
| RTX CORP (RTX) 31.000 SHARES | 2,847 | 3,587 |
| RYAN SPECIALTY HOLDINGS INC (RYAN) 14.000 SHARES | 930 | 898 |
| S&P GLOBAL INC (SPGI) 12.000 SHARES | 4,714 | 5,976 |
| SALESFORCE COM INC (CRM) 23.000 SHARES | 4,775 | 7,690 |
| SBA COMMUNICATIONS CORP (SBAC) 5.000 SHARES | 1,438 | 1,019 |
| SCHWAB CHARLES CORP NEW (SCHW) 88.000 SHARES | 5,786 | 6,513 |
| SEAGATE TECH HLDGS PUB LTD CO (STX) 33.000 SHARES | 2,654 | 2,848 |
| SEI INVT CO PA PV $0.01 (SEIC) 37.000 SHARES | 2,500 | 3,052 |
| SHOPIFY INC CL A (SHOP) 63.000 SHARES | 2,659 | 6,699 |
| SMURFIT WESTROCK LTD REG SHS (SW) 35.000 SHARES | 1,890 | 1,885 |
| STARBUCKS CORP (SBUX) 78.000 SHARES | 7,038 | 7,118 |
| TAIWAN S MANUFCTRING ADR (TSM) 41.000 SHARES | 5,918 | 8,097 |
| TESLA INC (TSLA) 60.000 SHARES | 9,889 | 24,230 |
| TEXAS INSTRUMENTS (TXN) 38.000 SHARES | 5,820 | 7,125 |
| THERMO FISHER SCIENTIFIC (TMO) 6.000 SHARES | 3,212 | 3,121 |
| TJX COS INC NEW (TJX) 92.000 SHARES | 6,382 | 11,115 |
| TRANE TECHNOLOGIES PLC (TT) 16.000 SHARES | 1,570 | 5,910 |
| TRANSDIGM GROUP INC (TDG) 12.000 SHARES | 8,822 | 15,207 |
| TRAVELERS COS INC (TRV) 11.000 SHARES | 2,116 | 2,650 |
| TRUIST FINL CORP (TFC) 94.000 SHARES | 3,662 | 4,078 |
| TYLER TECHS INC DEL (TYL) 10.000 SHARES | 4,992 | 5,766 |
| UNION PACIFIC CORP (UNP) 33.000 SHARES | 7,587 | 7,525 |
| UNITED PARCEL SVC CL B (UPS) 35.000 SHARES | 6,183 | 4,413 |
| UNITEDHEALTH GROUP INC (UNH) 33.000 SHARES | 13,768 | 16,693 |
| VAIL RESORTS INC (MTN) 13.000 SHARES | 2,498 | 2,437 |
| VEEVA SYS INC CLA (VEEV) 26.000 SHARES | 5,150 | 5,466 |
| VENTAS INC (VTR) 39.000 SHARES | 2,252 | 2,297 |
| VERALTO CORP (VLTO) 7.000 SHARES | 711 | 713 |
| VERISIGN INC (VRSN) 5.000 SHARES | 969 | 1,034 |
| VERISK ANALYTICS INC CLASS A (VRSK) 7.000 SHARES | 948 | 1,928 |
| VERIZON COMMUNICATNS (VZ) 42.000 SHARES | 2,169 | 1,680 |
| VERTEX PHARMCTLS INC (VRTX) 15.000 SHARES | 3,429 | 6,040 |
| VISA INC CL A (V) 41.000 SHARES | 8,568 | 12,958 |
| VULCAN MATERIALS CO (VMC) 43.000 SHARES | 7,479 | 11,061 |
| W R BERKLEY CORP (WRB) 27.000 SHARES | 1,465 | 1,580 |
| WALMART INC (WMT) 127.000 SHARES | 6,118 | 11,474 |
| WASTE CONNECTIONS INC (WCN) 14.000 SHARES | 2,515 | 2,402 |
| WATERS CORP (WAT) 6.000 SHARES | 1,796 | 2,226 |
| WEC ENERGY GROUP INC (WEC) 60.000 SHARES | 5,730 | 5,642 |
| WELLS FARGO & CO (WFC) 144.000 SHARES | 6,623 | 10,115 |
| WIX COM LTD (WIX) 7.000 SHARES | 1,250 | 1,502 |
| WORKDAY INC CL A (WDAY) 10.000 SHARES | 1,741 | 2,580 |
| XCEL ENERGY INC (XEL) 39.000 SHARES | 2,248 | 2,633 |
| YUM BRANDS INC (YUM) 35.000 SHARES | 4,061 | 4,696 |
| YUM CHINA HOLDINGS INC (YUMC) 23.000 SHARES | 854 | 1,108 |
| ZOETIS INC (ZTS) 35.000 SHARES | 6,406 | 5,703 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| BLACKROCK ALLOCATION TARGET SHARES SERIES C (BRACX) 4,424.505 SHARES | AT COST | 45,689 | 39,422 |
| BLACKROCK ALLOCATION TARGET SHARES SERIES M (BRAMX) 7,259.858 SHARES | AT COST | 68,450 | 59,749 |
| BLACKROCK ALLOCATION TARGET SHARES SERIES S (BRASX) 545.858 SHARES | AT COST | 5,056 | 5,016 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| ARTWORKS | 33,300 | 33,300 | 33,300 |
| COPYRIGHTS TO BOOK ROYALTIES | 1,150 | 1,150 | 1,150 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INSURANCE EXPENSE | 994 | 0 | 994 | |
| OFFICE AND OTHER EXPENSES | 645 | 0 | 645 | |
| OTHER INVESTMENT EXPENSES | 76 | 76 | 0 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| RESCINDED GRANTS | 2,500 | 2,500 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT AND ADVISORY | 17,264 | 17,264 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL EXCISE TAX PAID | 2,827 | 0 | 0 | |
| FOREIGN TAXES WITHHELD | 239 | 239 | 0 |