| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Read, Martin & Slickman Tax preparation | 1,750 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| $40,000 Citigroup Inc 31 | 39,035 | 39,964 |
| $40,000 Ares Capital Corp 5.5% 30 | 40,059 | 40,154 |
| $40,000 Wells Fargo & Co 4% 26 | 39,960 | 39,996 |
| $40,000 BBVA USA 5.9% 26 | 40,263 | 39,813 |
| $40,000 Autozone Inc 3.125% 26 | 39,229 | 39,871 |
| $40,000 Goldman Sachs 4% 26 | 40,000 | 39,987 |
| $40,000 The Kraft Heinz Food 3% 26 | 37,657 | 39,787 |
| $40,000 Netflix, Inc 4.375% 26 | 39,750 | 40,159 |
| $40,000 American Tower 3.65% 27 | 38,630 | 39,788 |
| $40,000 Boston Properties 6.75% 27 | 40,710 | 41,843 |
| $40,000 IHS Markit Ltd 4.75% 28 | 38,634 | 40,704 |
| $40,000 Regeneron Pharma 1.75% 30 | 32,010 | 35,610 |
| $40,000 Talcott Resolut 7.375% 31 | 40,115 | 40,721 |
| $40,000 T-Mobile USA 3.375% 29 | 37,113 | 38,986 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1550 shares A T & T Inc | 5,114 | 38,502 |
| 1000 shares Abbott Labs | 22,946 | 125,290 |
| 820 shares Abbvie | 20,115 | 187,362 |
| 431 shares Alphabet Inc, Cap CL A | 5,244 | 134,903 |
| 1000 shares Alphabet Inc. Cap CL C | 12,104 | 313,800 |
| 701 shares Altria Group Inc | 28 | 40,420 |
| 1062 shares Apple Inc | 19,944 | 288,715 |
| 612 shares Arthur J Gallagher & Co | 14,887 | 158,379 |
| 580 shares Automatic Data Processing | 22,339 | 149,193 |
| 450 shares Berkshire Hathaway Inc | 33,921 | 226,193 |
| 1700 shares Coca-Cola Co | 942 | 118,847 |
| 1304 shares Comcast Corp | 42,705 | 38,977 |
| 500 shares Walt Disney Co | 8,329 | 56,885 |
| 277 shares Equifax Inc | 167 | 60,103 |
| 1100 shares Exxon Mobil Corp | 3,827 | 132,374 |
| 1115 shares Fiserv Inc | 15,243 | 74,895 |
| 715 shares Genuine Parts Co | 23,656 | 87,916 |
| 369 shares Home Depot Inc | 29,531 | 126,973 |
| 545 shares Illinois Tool WKS Inc | 32,793 | 134,234 |
| 800 shares Intel Corp | 21,248 | 29,520 |
| 842 shares Johnson & Johnson | 839 | 174,252 |
| 375 sh JP Morgan Chase & Co | 39,363 | 120,833 |
| 604 shares Microsoft Corp | 10,451 | 292,106 |
| 1156 shares Mondelez International Inc | 24 | 62,227 |
| 1576 shares Pfizer Inc | 26,549 | 39,242 |
| 349 shares Philip Morris Intl Inc | 32 | 55,980 |
| 680 shares RTX Corp | 64,706 | 124,712 |
| 520 shares Southern Co | 35,311 | 45,344 |
| 563 shares Stryker Corp | 22,469 | 197,878 |
| 782 shares Texas Instruments Inc | 31,744 | 135,669 |
| 1166 shares Verizon Communications | 24,345 | 47,491 |
| 700 shares Wells Fargo Bank | 37,857 | 65,240 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 948 shares Vanguard Extended Market ETF | 109,289 | 198,246 | |
| 1000 shares Vanguard FTSE Emerging Markets ETF | 40,910 | 53,760 | |
| 1500 shares Vanguard Total ETF | 75,802 | 113,160 | |
| 444 shares Ishares 1 5 Yr Bond ETF | 22,920 | 23,479 | |
| 125 shares American Tower Corp REIT | 24,298 | 21,946 | |
| 522 shares Simon Ppty Group REIT | 49,626 | 96,627 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| COHEN POLLOCK MERLIN LEGAL FEES | 2,565 |
| Description | Amount |
|---|---|
| Amortization of bond premium | 993 |
| Description | Amount |
|---|---|
| Mutual Fund timing difference | 3,620 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| GA SEC OF STATE ANNUAL REGISTRATION | 30 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Excise Tax-payments-estimates | 2,560 | |||
| Excise Tax - payments - balance due | 198 | |||
| Foreign Tax Withheld | 420 |