| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 1,090 | 1,090 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 10,000 KIMBERLY CLARK | ||
| 10,000 WASTE MANAGEMENT | 10,363 | 10,363 |
| 10,000 EXXON MOBIL | ||
| 10,000 EMERSON ELECTRIC | ||
| 10,000 LOWES | 9,960 | 9,960 |
| 10,000 APPLIED MATERIALS | 9,949 | 9,949 |
| 20,000 AUTOMATIC DATA PROCESSING | 19,108 | 19,108 |
| 10000 ROYAL BANK OF CANADA | 10,108 | 10,108 |
| 10,000 RXT | 9,895 | 9,895 |
| 10,000 HUMANA | 10,347 | 10,347 |
| 10,000 SYSCO | 10,333 | 10,333 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 99 SHARES PENTAIR | 10,310 | 10,310 |
| 97 SHARES JOHNSON & JOHNSON | 20,074 | 20,074 |
| 87 SHARES QUEST DIAGNOSTICS | 15,097 | 15,097 |
| 65 SHARES VERIZON COMMUNICATIONS | 2,647 | 2,647 |
| 207 SHARES INVESCO EXCHANGE TRADED | 16,474 | 16,474 |
| 600 SHARES SOMERSET TRUST HOLDING | 40,206 | 40,206 |
| 56 SHARES MICROSOFT | 27,083 | 27,083 |
| 54 SHARES METLIFE | 4,263 | 4,263 |
| 53 SHARES NUTRIEN | 3,271 | 3,271 |
| 51 SHARES HOME DEPOT | 17,549 | 17,549 |
| 49 SHARES MCDONALDS | 14,976 | 14,976 |
| 44 SHARES HERSHEY FOOD | 8,007 | 8,007 |
| 40 SHARES AMGEN | 13,092 | 13,092 |
| 40 SHARES AMERICAN INTL GROUP | ||
| 39 SHARES CIGNA | 10,734 | 10,734 |
| 26 SHARES COSTCO | 22,421 | 22,421 |
| 131 SHARES RANGE NUCLEAR RENAISSANCE | 8,319 | 8,319 |
| 308 SHARES PFIZER | ||
| 305 SHARES CISCO SYSTEMS | 23,494 | 23,494 |
| 29 SHARES REGENCY CENTERS | 2,002 | 2,002 |
| 27 SHARES PARAMOUNT GLOBAL | ||
| 24 SHARES WHIRLPOOL | ||
| 33 SHARES TESLA | 14,841 | 14,841 |
| 219 SHARES CITIGROUP | 25,555 | 25,555 |
| 196 SHARES DELTA AIRLINES | ||
| 184 SHARES FIRST TRUST EXCHANGE | 49,529 | 49,529 |
| 18 SHARES GILEAD SCIENCE | 2,209 | 2,209 |
| 153 SHARES ROSS STORES | 27,561 | 27,561 |
| 143 SHARES MEDTRONIC | 13,737 | 13,737 |
| 103 SHARES JPMORGAN CHASE | 33,189 | 33,189 |
| 125 SHARES ISHARES TR HDG MSCI JAPAN | 6,587 | 6,587 |
| 118 SHARES CAPITAL ONE FINANCIAL | 28,598 | 28,598 |
| 108 SHARES APPLE | 29,361 | 29,361 |
| 103 SHARES RTX | 18,890 | 18,890 |
| 102 SHARES NEXTERA ENERGY | 8,189 | 8,189 |
| 27 SHARES PARAMOUNT SKYDANCE | 362 | 362 |
| 55 SHARES ALPHABET | 17,215 | 17,215 |
| 43 SHARES ISHARES SEMICONDUCTOR | 12,949 | 12,949 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 10,000 GREENSBURG PA | FMV | 9,472 | 9,472 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| 5256.942 SHARES FEDERATED BOND | 43,265 | 44,579 | 44,579 |
| 1329.098 SHARES FEDERATED HIGH YIELD | 8,440 | 8,652 | 8,652 |
| 623.245 SHARES FEDERATED GOVT INCOME | 5,453 | ||
| 370.35 SHARES FIDELITY EXTENDED MAR | 33,658 | 37,283 | 37,283 |
| 263.416 SHARES WASATCH CORE GORWTH | 22,545 | 20,043 | 20,043 |
| 4448.0648 SHARES FEDERATED TOTAL RET | 41,589 | 42,657 | 42,657 |
| 61.5316 SHARES VANGUARD 500 | 33,397 | 38,878 | 38,878 |
| 406.137 SHARES FENIMORE ASSET MGMT | 10,436 | 9,333 | 9,333 |
| 2284.938 SHARES INVESCO OPPEN FLOATI | 15,081 | 14,646 | 14,646 |
| 89.958 SHARES FEDERATED MID CAP GROW | 5,354 | 5,857 | 5,857 |
| 243.098 FEDERATED TOTAL RETURN ULTR | 23,276 | 2,266 | 2,266 |
| 157.525 SHARES JPMORGAN MID CAP | 4,912 | 5,027 | 5,027 |
| Description | Amount |
|---|---|
| EXCISE TAX PAID | 500 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXPENSES | ||||
| FOREIGN TAXES PAID | 142 | 142 | ||
| ADVERTISING | 104 | 104 |
| Description | Amount |
|---|---|
| UNREALIZED APPRECIATION | 97,540 |
| TAX EXEMPT INCOME | 287 |
| Name | Address |
|---|---|
| FRANK S LUCENTE |
C/O SOMERSET TRUST COMPANY PO BOX 1330 SOMERSET,PA15501 |