| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| AMERICAN EXPRESS CO 75,000 SHARES | 74,365 | 74,571 |
| BANK OF NY MELLON 100,000 SHARES | 99,049 | 101,289 |
| BERKSHIRE HATHAWAY 50,000 SHARES | 49,082 | 49,690 |
| BK OF NY MELLON CORP 50,000 SHARES | 47,257 | 49,111 |
| CIGNA CORP 50,000 SHARES | 41,388 | 42,798 |
| CME GROUP INC 37,000 SHARES | 35,520 | 37,184 |
| COMCAST CORP 50,000 SHARES | 47,784 | 49,676 |
| J P MORGAN CHASE & CO 50,000 SHARES | 49,449 | 49,561 |
| LOCKHEED MARTIN CORP 87,000 SHARES | 88,288 | 90,345 |
| LOCKHEED MARTIN CORP 19,000 SHARES | 18,668 | 19,128 |
| MCDONALD'S CORP 20,000 SHARES | 19,559 | 20,151 |
| MORGAN STANLEY 37,000 SHARES | 36,117 | 37,333 |
| PNC FINL SERV GRP INC 50,000 SHARES | 51,077 | 47,694 |
| TARGET CORP 20,000 SHARES | 19,206 | 19,942 |
| TRUST FINANCIAL CORP 100,000 SHARES | 100,526 | 101,628 |
| UNITEDHEALTH GROUP INC 20,000 SHARES | 19,693 | 20,261 |
| SCHLUMBERGER INVMT 50,000 SHARES | 43,756 | 44,623 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBOTT LABS 653 SHARES | 68,217 | 73,658 |
| ABBVIE INC COM 279 SHARES | 41,232 | 49,160 |
| ACCENTURE PLC IRELAND CL A 147 SHARES | 44,427 | 51,816 |
| ADVANCED MICRO DEVICES INC 51 SHARES | 4,682 | 6,244 |
| AGCO CORP 118 SHARES | 11,591 | 10,986 |
| AMER ELECTRIC POWER CO 197 SHARES | 47,223 | 58,574 |
| AMERIPRISE FINANCIAL INC 18 SHARES | 1,875 | 9,550 |
| ANALOG DEVICES INC 283 SHARES | 54,952 | 60,154 |
| APOLLO GLOBAL MGMT INC 172 SHARES | 19,297 | 28,640 |
| AUTOMATIC DATA PROCESSNG INC 255 SHARES | 57,563 | 74,707 |
| BLACKROCK INC 73 SHARES | 53,972 | 75,002 |
| BRISTOL MYERS SQUIBB CO 344 SHARES | 17,385 | 19,285 |
| BROADCOM INC 887 SHARES | 84,845 | 208,959 |
| CADENCE DESIGN SYSTEM 76 SHARES | 12,670 | 22,941 |
| CF INDUSTRIES HOLDINGS INC 146 SHARES | 12,028 | 12,268 |
| CMS ENERGY GROUP 103 SHARES | 7,331 | 6,863 |
| COCA COLA CO COM 944 SHARES | 48,306 | 58,556 |
| COSTCO WHOLESALE CORP 12 SHARES | 2,657 | 11,067 |
| DENALI THERAPEUTICS INC 202 SHARES | 5,087 | 4,088 |
| DEXCOM INC 90 SHARES | 8,646 | 7,020 |
| DYNATRACE INC 173 SHARES | 9,713 | 9,359 |
| EXXON MOBIL CORP 359 SHARES | 38,956 | 37,968 |
| GE VERNOVA LLC COM 27 SHARES | 7,413 | 8,917 |
| GENERAC HLDGS INC 47 SHARES | 10,359 | 7,273 |
| GUARDANT HEALTH INC 146 SHARES | 4,532 | 4,459 |
| HOME DEPOT INC 234 SHARES | 68,980 | 91,127 |
| INTEL CORP 531 SHARES | 18,740 | 10,524 |
| JOHNSON & JOHNSON COM 410 SHARES | 60,863 | 58,769 |
| JPMORGAN CHASE & CO 415 SHARES | 61,451 | 99,318 |
| KLA CORP 34 SHARES | 21,722 | 21,544 |
| LILLY ELI & CO 12 SHARES | 9,646 | 9,286 |
| MARSH & MCLENNAN COS INC 215 SHARES | 32,654 | 45,576 |
| MCDONALDS CORP 166 SHARES | 33,421 | 48,074 |
| MICRON TECHNOLOGY INC 116 SHARES | 7,092 | 9,896 |
| MICROSOFT CORP 735 SHARES | 179,463 | 312,250 |
| MONTROSE ENVIRONMENTAL GROUP 116 SHARES | 6,685 | 2,204 |
| MORGAN STANLEY 530 SHARES | 48,300 | 66,648 |
| MSA SAFETY INC COM 55 SHARES | 6,290 | 9,124 |
| NEXTERA ENERGY INC COM 866 SHARES | 59,636 | 62,144 |
| NIKE INC CL B 157 SHARES | 15,731 | 11,720 |
| NVIDIA CORP 241 SHARES | 25,676 | 33,135 |
| OPTION CARE HEALTH INC 162 SHARES | 4,901 | 3,671 |
| ORACLE CORP 515 SHARES | 51,887 | 85,959 |
| PALO ALTO NETWORKS INC 50 SHARES | 3,068 | 9,210 |
| PATHWARD FINANCIAL INC 89 SHARES | 7,462 | 6,608 |
| PHILLIPS 66 367 SHARES | 41,243 | 41,100 |
| PROCTER & GAMBLE CO 304 SHARES | 37,417 | 50,795 |
| PROLOGIS INC COM 598 SHARES | 72,118 | 62,850 |
| REPUBLIC SERVICES INC 104 SHARES | 9,217 | 20,924 |
| RIVIAN AUTOMOTIVE INC CL A 686 SHARES | 10,023 | 9,316 |
| SERVICENOW INC 25 SHARES | 16,297 | 26,693 |
| TAKE-TWO INTERACTIVE SOFTWARE 159 SHARES | 24,858 | 29,342 |
| TEXAS INSTRUMENTS 293 SHARES | 59,837 | 55,072 |
| TJX COS INC NEW 641 SHARES | 68,254 | 77,619 |
| UBER TECHNOLOGIES 82 SHARES | 4,939 | 4,983 |
| UNION PACIFIC CORP 263 SHARES | 52,113 | 59,909 |
| UNITEDHEALTH GROUP INC 197 SHARES | 86,673 | 100,037 |
| UNIVERSAL DISPLAY CORP 22 SHARES | 3,464 | 3,245 |
| WSTN DIGITIAL CORP 101 SHARES | 6,275 | 6,022 |
| ZSCALER INC 29 SHARES | 6,438 | 5,311 |
| AALBERTS INDUSTRIES NV EUR 204 SHARES | 7,870 | 7,204 |
| APTIV PLC 91 SHARES | 7,672 | 5,470 |
| ASTRAZENECA PLC SPON ADR 222 SHARES | 12,910 | 14,557 |
| AXA ADR 188 SHARES | 4,958 | 6,672 |
| BANK IRELAND GROUP PLC EUR 2113 SHARES | 17,419 | 19,061 |
| CHINA MENGNIU DAIRY CO LTD ADR 573 SHARES | 18,298 | 12,509 |
| CHUBB LTD CHF 199 SHARES | 34,615 | 54,807 |
| DANONE SPON ADR 1078 SHARES | 14,467 | 14,424 |
| EATON CORP PLC 65 SHARES | 24,431 | 21,605 |
| EQUINOR ASA SPON ADR 841 SHARES | 19,229 | 19,612 |
| ERSTE GROUP BANK AG ORD EUR 153 SHARES | 9,382 | 9,475 |
| GATES INDL CORPRATIN PLC 300 SHARES | 5,592 | 6,120 |
| GENMAB A/S SPON ADR 1 SHARE | 28 | 21 |
| GS FINANCE CORP L/O TA-CYN MXEF SVX 03/13/2031 30000 SHARES | 300,000 | 263,900 |
| KERRY GROUP PLC SPON ADR 109 SHARES | 11,208 | 10,477 |
| KEYENCE CORP ORD JPY 33 SHARES | 13,202 | 13,567 |
| KNORR BREMSE AG EUR 170 SHARES | 14,959 | 12,282 |
| KONINKLIJKE PHILIPS NV SPON ADR 567 SHARES | 14,506 | 14,368 |
| LINDE PLC NEW EUR 124 SHARES | 38,864 | 51,790 |
| MEITUAN ADR 341 SHARES | 7,687 | 13,234 |
| NVENT ELEC PLC 145 SHARES | 11,039 | 9,914 |
| PENTAIR PLC 159 SHARES | 14,354 | 15,960 |
| PING AN INSURANCE (GROUP) CO OF CHINA LTD REPSTG 20 H SHS SPON 859 SHARES | 11,343 | 10,093 |
| PRYSMIAN S.P.A. MILANO EUR 171 SHARES | 4,009 | 10,945 |
| PT BK CENT ASIA TBK ADR 622 SHARES | 5,727 | 9,094 |
| SHIN ETSU CHEM CO LTD ADR 405 SHARES | 4,351 | 6,731 |
| SPECTRIS PLC GBP 259 SHARES | 8,853 | 7,602 |
| TAIWAN SEMICONDUCTOR MFG CO LTD ADR 569 SHARES | 63,737 | 114,022 |
| TRANE TECHNOLOGIES PLC 132 SHARES | 35,235 | 48,954 |
| WEST JAPAN RAILWAY CO ADR 290 SHARES | 6,252 | 5,078 |
| TIMING DIFFERENCE IN SECURITIES | 894 | 0 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| BOND PREMIUM | 1,589 | 1,589 | 0 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| CITIGROUP GLOBAL MARKETS | 18,000 | 18,000 | 18,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 27,046 | 27,046 | 0 | |
| OTHER FEES | 181 | 181 | 0 | |
| PROFESSIONAL FEES | 5,966 | 5,966 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 2,137 | 2,137 | 0 | |
| FEDERAL ESTIMATED TAX PAYMENTS | 1,513 | 0 | 0 |