| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting Fees | 5,020 | 0 | 5,020 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 15000 Shr GOLDMAN SACHS GROUP INC 5.10% 5/30/2030 | 15,000 | 15,073 |
| 10000 Shr HASBRO INC 3.90% 11/19/2029 | 9,761 | 9,838 |
| 10000 Shr JACOBS ENGR GROUP INC 6.35% 8/18/2028 | 9,967 | 10,524 |
| 10000 Shr LENNAR CORP SR NT 5.25% 6/1/2026 | 10,020 | 10,008 |
| 10000 Shr MARATHON OIL CORP 4.40% 7/15/2027 | 9,809 | 9,947 |
| 10000 Shr PNC FINL SVCS GROUP INC 6.0% FIXED TO FLOAT | 9,870 | 10,109 |
| 140 Shr WISDOMTREE FLOATING RATE TREASURY ETF | 7,057 | 7,045 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 45 Shr ACCENTURE PLC A | 5,051 | 12,074 |
| 50 Shr NESTLE S A SPONSORED ADR | 3,876 | 4,969 |
| 18 Shr TRANE TECHNOLOGIES PLC | 3,404 | 7,006 |
| 62 Shr UNILEVER PLC | 3,941 | 4,055 |
| 55 Shr ABBOTT LABORATORIES | 6,376 | 6,891 |
| 35 Shr ABBVIE INC | 904 | 7,997 |
| 70 Shr AFLAC INC | 1,229 | 7,719 |
| 30 Shr ALPHABET INC CL C | 3,538 | 9,414 |
| 50 Shr AMAZON.COM INC | 9,652 | 11,541 |
| 30 Shr AMERICAN TOWER CORP | 5,759 | 5,267 |
| 20 Shr AMGEN INC | 3,078 | 6,546 |
| 70 Shr APPLE INC | 1,750 | 19,030 |
| 235 Shr AT&T INC | 5,430 | 5,837 |
| 20 Shr BERKSHIRE HATHAWAY INC B | 8,297 | 10,053 |
| 40 Shr BROADCOM INC | 6,680 | 13,844 |
| 20 Shr CHEVRON CORP | 2,898 | 6,096 |
| 255 Shr CISCO SYSTEMS INC | 8,101 | 19,643 |
| 9 Shr COSTCO WHOLESALE CORP | 1,392 | 7,761 |
| 40 Shr CROWDSTRIKE HOLDINGS INC | 5,050 | 18,750 |
| 8 Shr ELI LILLY & CO | 6,326 | 8,597 |
| 54 Shr EXXON MOBIL CORP | 5,201 | 6,498 |
| 28 Shr HOME DEPOT INC | 4,393 | 9,635 |
| 40 Shr HONEYWELL INTERNATIONAL INC | 7,705 | 7,804 |
| 55 Shr INTERNATIONAL BUSINESS MACHINES | 6,683 | 16,292 |
| 40 Shr JP MORGAN CHASE & CO | 2,233 | 12,889 |
| 13 Shr LINDE PLC | 5,661 | 5,543 |
| 20 Shr MCDONALDS CORP | 1,896 | 6,113 |
| 11 Shr META PLATFORMS INC CL A | 1,290 | 7,261 |
| 95 Shr METLIFE INC | 4,453 | 7,499 |
| 35 Shr MICROSOFT CORP | 8,009 | 16,927 |
| 70 Shr MORGAN STANLEY | 5,839 | 12,427 |
| 50 Shr NETFLIX INC | 5,583 | 4,688 |
| 70 Shr NEXTERA ENERGY INC | 5,067 | 5,620 |
| 70 Shr NVIDIA CORP | 7,573 | 13,055 |
| 60 Shr RTX CORPORATION | 5,872 | 11,004 |
| 10 Shr SOLSTICE ADVANCED MATERIALS INC | 482 | 486 |
| 90 Shr SOUTHERN COMPANY | 4,103 | 7,848 |
| 15 Shr STRYKER CORP | 5,702 | 5,272 |
| 50 Shr SYSCO CORP | 4,113 | 3,685 |
| 15 Shr THERMO FISHER SCIENTIFIC INC | 7,270 | 8,692 |
| 80 Shr TJX COMPANIES INC | 6,834 | 12,289 |
| 110 Shr VERIZON COMMUNICATIONS INC | 5,554 | 4,480 |
| 20 Shr VISA INC CL A | 3,901 | 7,014 |
| 50 Shr WALT DISNEY CO | 4,893 | 5,689 |
| 35 Shr WASTE MANAGEMENT INC | 1,058 | 7,690 |
| 35 Shr ZOETIS INC | 6,048 | 4,404 |
| 80 Shr ISHARES BITCOIN TRUST ETF | 5,164 | 3,972 |
| 130 Shr ISHARES CORE S&P SMALL CAP | 10,027 | 15,623 |
| 170 Shr ISHARES ETHEREUM TRUST ETF | 4,892 | 3,813 |
| 445 Shr ISHARES INTL SELECT DIVIDEND ETF | 15,729 | 17,555 |
| 335 Shr SPDR S&P 400 MID CAP VALUE ETF | 28,160 | 28,358 |
| 185 Shr VANGUARD EMERGING MARKETS | 7,158 | 9,946 |
| 275 Shr VANGUARD FTSE DEVELOPED MKTS EX-US | 11,082 | 17,179 |
| 60 Shr VANGUARD REAL ESTATE ETF | 5,547 | 5,308 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Fees | 4,475 | 4,475 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Taxes Paid | 527 | 0 | 35 |