| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ANNUAL BOOKKEEPING AND TAX RETURN PREPARATION | 17,226 | 0 | 17,226 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBVIE INC, 02/26/24, 4.800% (00287YDS5) 50,000 QTY | 51,269 | 51,227 |
| AMERICAN INTERNATIONAL, 03/27/23, 5.125% (026874DS3) 25,000 QTY | 25,148 | 25,711 |
| AMGEN INC, 02/22/22, 3.350% (031162DE7) 25,000 QTY | 21,603 | 23,543 |
| APPLE INC, 05/10/23, 4.300% (037833EV8) 25,000 QTY | 23,909 | 25,327 |
| AT&T INC, 05/28/20, 2.300% (00206RJX1) 25,000 QTY | 22,654 | 24,429 |
| AUTOZONE INC, 03/30/20, 4.000% (053332AZ5) 25,000 QTY | 22,894 | 24,721 |
| BAKER HUGHES LLC/CO-OBL, 12/09/21, 2.061% (05724BAD1) 50,000 QTY | 46,044 | 49,129 |
| BANK OF AMERICA CORP, 09/15/23, VAR% (06051GLU1) 50,000 QTY | 51,946 | 53,358 |
| BLACKROCK INC, 05/25/23, 4.750% (09247XAT8) 30,000 QTY | 29,931 | 30,692 |
| BUNGE LTD FINANCE CORP, 05/14/21, 2.750% (120568BC3) 30,000 QTY | 25,801 | 27,546 |
| CANADIAN IMPERIAL BANK, 10/03/23, 6.092% (13607LWW9) 35,000 QTY | 37,271 | 38,030 |
| CAPITAL ONE FINANCIAL CO, 05/11/20, 3.650% (14040HCE3) 50,000 QTY | 47,906 | 49,765 |
| COMCAST CORP, 10/05/18, 4.150% (20030NCT6) 50,000 QTY | 50,330 | 50,270 |
| CONAGRA BRANDS INC, 10/16/20, 1.375% (205887CF7) 50,000 QTY | 42,128 | 47,536 |
| DUKE ENERGY CORP, 08/11/22, 4.500% (26441CBT1) 25,000 QTY | 21,992 | 24,918 |
| EQUINIX INC, 05/17/21, 2.500% (29444UBS4) 35,000 QTY | 30,711 | 31,674 |
| GENERAL MOTORS FINL CO, 06/10/21, 2.700% (37045XDL7) 50,000 QTY | 33,372 | 36,220 |
| GOLDMAN SACHS GROUP INC, 01/26/17, 3.850% (38141GWB6) 50,000 QTY | 48,028 | 49,956 |
| HP ENTERPRISE CO, 07/17/20, 1.750% (42824CBK4) 50,000 QTY | 45,926 | 49,677 |
| INTUIT INC, 09/15/23, 5.200% (46124HAG1) 40,000 QTY | 40,358 | 41,818 |
| JOHN DEERE CAPITAL CORP, 04/18/22, 3.350% (24422EWE5) 50,000 QTY | 48,368 | 49,048 |
| JPMORGAN CHASE & CO, 04/26/22, VAR% (46647PDA1) 50,000 QTY | 48,691 | 50,204 |
| LOCKHEED MARTIN CORP, 05/05/22, 3.900% (539830BR9) 50,000 QTY | 49,934 | 48,980 |
| LOWE'S COS INC, 10/22/20, 1.700% (548661DY0) 50,000 QTY | 40,689 | 44,410 |
| MORGAN STANLEY, 07/21/23, VAR% (61747YFF7) 50,000 QTY | 50,940 | 51,597 |
| NASDAQ INC, 06/28/23, 5.550% (63111XAJ0) 25,000 QTY | 25,733 | 26,253 |
| NORTHERN TRUST CORP, 05/10/22, 4.000% (665859AW4) 50,000 QTY | 50,533 | 50,163 |
| PAYPAL HOLDINGS INC, 05/23/22, 3.900% (70450YAK9) 50,000 QTY | 50,037 | 50,094 |
| ROYAL BANK OF CANADA SER GMTN, 10/18/24, VAR% (78017FZT3) 50,000 QTY | 50,586 | 50,697 |
| SHELL INTERNATIONAL FIN, 11/13/18, 3.875% (822582CB6) 40,000 QTY | 38,912 | 39,983 |
| UBS COMMERCIAL MTG SER 2017-C4, 10/01/17, 3.563% (90276RBE7) 100,000 QTY | 96,590 | 98,587 |
| UNITEDHEALTH GROUP INC, 05/20/22, 4.000% (91324PEH1) 50,000 QTY | 50,154 | 49,950 |
| VERIZON COMMUNICATIONS, 03/22/21, 2.550% (92343VGJ7) 34,000 QTY | 30,069 | 31,048 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBOTT LABS (ABT) 191.000 SHARES | 25,557 | 23,930 |
| ABBVIE INC (ABBV) 157.000 SHARES | 21,115 | 35,873 |
| ADOBE INC (ADBE) 61.000 SHARES | 28,799 | 21,349 |
| ADVANCED MICRO DEVICES INC (AMD) 180.000 SHARES | 18,963 | 38,549 |
| ALPHABET INC CL C (GOOG) 400.000 SHARES | 24,721 | 125,520 |
| AMAZON COM INC (AMZN) 402.000 SHARES | 77,944 | 92,790 |
| ANALOG DEVICES INC (ADI) 103.000 SHARES | 24,322 | 27,934 |
| APPLE INC (AAPL) 651.000 SHARES | 69,251 | 176,981 |
| ASML HOLDING N.V. (ASML) 25.000 SHARES | 17,621 | 26,747 |
| BERKSHIRE HATHAWAY INC. (BRK.B) 54.000 SHARES | 28,722 | 27,143 |
| BLACKROCK INC (BLK) 30.000 SHARES | 15,829 | 32,110 |
| BLACKSTONE INC (BX) 203.000 SHARES | 13,416 | 31,290 |
| BOEING CO (BA) 164.000 SHARES | 29,853 | 35,608 |
| BROADCOM INC (AVGO) 336.000 SHARES | 12,478 | 116,290 |
| CITIGROUP INC. (C) 405.000 SHARES | 18,044 | 47,259 |
| EATON CORP PLC (ETN) 113.000 SHARES | 16,316 | 35,992 |
| ECOLAB INC (ECL) 83.000 SHARES | 22,248 | 21,789 |
| ELI LILLY & CO COM (LLY) 53.000 SHARES | 5,342 | 56,958 |
| GARMIN LTD (GRMN) 87.000 SHARES | 7,708 | 17,648 |
| HILTON WORLDWIDE HOLDINGS INC (HLT) 114.000 SHARES | 23,866 | 32,747 |
| HOME DEPOT INC (HD) 70.000 SHARES | 22,295 | 24,087 |
| JPMORGAN CHASE & CO (JPM) 201.000 SHARES | 19,399 | 64,766 |
| KEYSIGHT TECHNOLOGIES INC (KEYS) 102.000 SHARES | 17,572 | 20,725 |
| LAM RESH CORP (LRCX) 320.000 SHARES | 11,047 | 54,778 |
| MAGNUM ICE CREAM CO BV/THE (MICC) 79.600 SHARES | 0 | 1,262 |
| MANULIFE FINANCIAL CORP (MFC) 850.000 SHARES | 12,802 | 30,838 |
| MARSH & MCLENNAN COS INC (MMC) 114.000 SHARES | 25,504 | 21,149 |
| MCDONALDS CORP (MCD) 100.000 SHARES | 28,200 | 30,563 |
| META PLATFORMS INC (META) 101.000 SHARES | 18,092 | 66,669 |
| MICROSOFT CORP (MSFT) 337.000 SHARES | 63,538 | 162,980 |
| MONDELEZ INTERNATIONAL INC (MDLZ) 348.000 SHARES | 19,400 | 18,733 |
| MOTOROLA SOLUTIONS, INC. (MSI) 62.000 SHARES | 26,731 | 23,766 |
| NETFLIX INC (NFLX) 200.000 SHARES | 19,838 | 18,752 |
| NVIDIA CORP COM (NVDA) 199.000 SHARES | 20,115 | 37,113 |
| REGIONS FINL CORP NEW (RF) 764.000 SHARES | 14,518 | 20,705 |
| RTX CORP (RTX) 269.000 SHARES | 22,778 | 49,335 |
| SALESFORCE INC (CRM) 50.000 SHARES | 13,391 | 13,245 |
| STARBUCKS CORP (SBUX) 208.000 SHARES | 20,653 | 17,515 |
| SUNCOR ENERGY INC NEW F (SU) 931.000 SHARES | 26,743 | 41,299 |
| TE CONNECTIVITY LTD (TEL) 144.000 SHARES | 16,120 | 32,761 |
| THERMO FISHER SCIENTIFIC INC (TMO) 51.000 SHARES | 21,637 | 29,552 |
| TOTALENERGIES SE (TTE) 614.000 SHARES | 33,208 | 40,168 |
| UBER TECHNOLOGIES INC (UBER) 383.000 SHARES | 30,755 | 31,294 |
| UNILEVER PLC - ADR (UL) 353.778 SHARES | 20,415 | 23,137 |
| UNION PACIFIC CORP (UNP) 103.000 SHARES | 18,486 | 23,826 |
| VISA INC-CLASS A SHRS (V) 105.000 SHARES | 20,815 | 36,825 |
| WALMART INC (WMT) 202.000 SHARES | 17,101 | 22,505 |
| WASTE MANAGEMENT INC (WM) 124.000 SHARES | 17,109 | 27,244 |
| XYLEM INC/NY (XYL) 201.000 SHARES | 25,663 | 27,372 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| DODGE & COX INTERNATIONAL STOCK FUND (DODFX) 23,472.696 SHARES | AT COST | 295,000 | 386,361 |
| GOLDMAN SACHS GQG PARTNERS INTL OPP FUND CL R6 (GSIYX) 11,476.990 SHARES | AT COST | 254,053 | 257,773 |
| GQG PARTNERS EMERGING MKTS EQUITY FUND CL INST (GQGIX) 23,501.718 SHARES | AT COST | 354,770 | 418,331 |
| INVESCO BALANCED-RISK CMDTY STRATEGY FUND CL R6 (IBRFX) 59,677.331 SHARES | AT COST | 412,577 | 411,773 |
| ISHARES RUSSELL 2000 ETF (IWM) 1,701.000 SHARES | AT COST | 300,411 | 418,718 |
| NYLI MACKAY CONVERTIBLE FUND CLASS I (MCNVX) 25,924.364 SHARES | AT COST | 489,000 | 514,599 |
| PIMCO EMERGING MARKETS BOND FUND INSTL (PEBIX) 38,363.825 SHARES | AT COST | 313,146 | 349,111 |
| PIMCO EMERGING MARKETS LOCAL CCY AND BOND INST (PELBX) 59,904.644 SHARES | AT COST | 347,129 | 382,790 |
| PIMCO HIGH YIELD FUND INST (PHIYX) 52,306.687 SHARES | AT COST | 425,000 | 427,869 |
| PRINCIPAL MIDCAP FUND CLASS R6 (PMAQX) 6,277.464 SHARES | AT COST | 300,000 | 269,366 |
| SS TECHNOLOGY SELECT SECTOR ETF (XLK) 1,248.000 SHARES | AT COST | 93,328 | 179,675 |
| SS UTILITIES SELECT SECTOR ETF (XLU) 4,296.000 SHARES | AT COST | 175,282 | 183,396 |
| T ROWE PRICE INSTITUTIONAL FLOAT RATE FUND (RPIFX) 24,500.490 SHARES | AT COST | 236,882 | 230,794 |
| TOUCHSTONE MID CAP FUND CLASS R6 (TMPRX) 2,220.505 SHARES | AT COST | 106,652 | 126,547 |
| VANGUARD COMMUNICATION SERVICES ETF (VOX) 798.000 SHARES | AT COST | 120,963 | 154,517 |
| VANGUARD DIVIDEND APPRECIATION (VIG) 3,484.000 SHARES | AT COST | 600,023 | 765,714 |
| VANGUARD FINANCIALS ETF (VFH) 1,226.000 SHARES | AT COST | 144,765 | 163,659 |
| VANGUARD FTSE DEVELOPED MARKETS ETF (VEA) 13,019.000 SHARES | AT COST | 667,844 | 813,297 |
| VANGUARD FTSE EMERGING MARKETS ETF (VWO) 3,730.000 SHARES | AT COST | 149,983 | 200,525 |
| VANGUARD GROWTH VIPER (VUG) 980.000 SHARES | AT COST | 186,032 | 478,103 |
| VANGUARD INDEX FD ETF (VOO) 1,709.000 SHARES | AT COST | 656,778 | 1,071,765 |
| VANGUARD MIDCAP VIPER (VO) 4,230.000 SHARES | AT COST | 876,725 | 1,227,630 |
| VIRTUS KAR SMALL-CAP CORE FUND CLASS R6 (VSCRX) 5,078.736 SHARES | AT COST | 225,000 | 248,451 |
| VIRTUS KAR SMALL-MID CAP CORE FUND CLASS R6 (VKSRX) 14,830.944 SHARES | AT COST | 255,000 | 288,610 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| OTHER EXPENSES | 175 | 0 | 0 | |
| OTHER INVESTMENT EXPENSES | 32 | 32 | 0 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| SECURITIES LITIGATION PROCEEDS | 3,959 | 3,959 | 3,959 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT AND ADVISORY | 55,437 | 55,437 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL EXCISE TAX PAID | 14,286 | 0 | 0 | |
| FOREIGN TAXES WITHHELD | 1,463 | 1,463 | 0 |