0001919920-22-000001.txt : 20220427
0001919920-22-000001.hdr.sgml : 20220427
20220427161103
ACCESSION NUMBER: 0001919920-22-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20220331
FILED AS OF DATE: 20220427
DATE AS OF CHANGE: 20220427
EFFECTIVENESS DATE: 20220427
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Cyrus J. Lawrence, LLC
CENTRAL INDEX KEY: 0001919920
IRS NUMBER: 472442132
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-22429
FILM NUMBER: 22859666
BUSINESS ADDRESS:
STREET 1: 1330 AVENUE OF THE AMERICAS, SUITE 7A
CITY: NEW YORK
STATE: NY
ZIP: 10019
BUSINESS PHONE: 212-888-6342
MAIL ADDRESS:
STREET 1: 1330 AVENUE OF THE AMERICAS, SUITE 7A
CITY: NEW YORK
STATE: NY
ZIP: 10019
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001919920
XXXXXXXX
03-31-2022
03-31-2022
Cyrus J. Lawrence, LLC
1330 AVENUE OF THE AMERICAS, SUITE 7A
NEW YORK
NY
10019
13F HOLDINGS REPORT
028-22429
N
Bernhard Koepp
Chief Executive Officer
212-888-6342
/s/ Bernhard Koepp
New York
NY
04-27-2022
0
269
436891
false
INFORMATION TABLE
2
cjlawrence13Fq1.xml
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1000
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11
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15
150
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150
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INTERNATIONAL EQUITY
d69671218
25
180
SH
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180
0
0
Danone SA (EUROS)
INTERNATIONAL EQUITY
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28
500
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Intellia Therapeutics Inc
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Constellation Energy Group
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Traeger Inc
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Kraft Heinz Company
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PayPal Holdings, Inc
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Veoneer Inc
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Coinbase Global Inc
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Kroger Co
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Exelon Corp
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Fisker Inc
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Centerpoint Energy Inc
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Boston Scientific Corp
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Marathon Oil Corp
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Carlisle Cos Inc
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Vanguard Index Growth ETF
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Fedex Corp
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SPX Flow Inc
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Avangrid Inc
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166
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J M Smucker Co
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Zoetis Inc
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General Mills Inc
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Amgen Inc
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101
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Chevron Corporation
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24
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150
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Illumina Inc
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70
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25
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123
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Cummins Inc
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25
120
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120
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Autoliv Inc
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26
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341
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Xylem Inc
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Truist Finl Corp
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Snap-On Inc
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Pitney-Bowes Inc
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Tanger Factory Outlet Centers
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NetApp Inc
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Healthpeak Pptys Inc
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Simon Property Group Inc
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218
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Fortis Inc Common Shares
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30
140
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140
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Clorox Co
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31
225
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Pembina Pipeline Corp
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Citigroup Inc
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32
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W W Grainger Inc
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HP Inc
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Quanta Services Inc
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Carrier Global Corp
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Ptc Inc
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Weyerhaeuser Co
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Enbridge Inc
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495
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Stryker Corp
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Corning Inc
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55
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Danaher Corp
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59
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59
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Sysco Corp
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69
425
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425
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71
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340
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340
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75
756
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756
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NiSource Inc
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77
2417
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78
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425
0
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Kimberly-Clark Corp
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494368103
79
640
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640
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Consolidated Edison Inc
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79
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833
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79
176
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176
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Comcast Corp New Class A
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20030n101
80
1705
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1705
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80
623
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623
0
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Tootsie Roll Industries Inc
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890516107
80
2285
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2285
0
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Spire Inc
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84857l101
84
1167
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1167
0
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Coca Cola Co
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191216100
86
1381
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1381
0
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Altria Group Inc
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02209s103
87
1667
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1667
0
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Dominion Resources Inc VA New
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25746u109
88
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89
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90
1634
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1634
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92276f100
101
1638
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1638
0
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AT&T Inc
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101
4295
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4295
0
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Waste Management Inc
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102
645
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0
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Fortune Brands Home & Sec Inc
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34964c106
104
1400
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1400
0
0
Genuine Parts Co
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372460105
105
833
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833
0
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Broadcom Limited
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Y09827109
106
168
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168
0
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Allianz ADS Ord Shares
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018820100
106
4400
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0
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Invesco QQQ TR Unit Ser 1
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46090e103
109
300
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300
0
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National Fuel Gas Co
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636180101
115
1667
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1667
0
0
Vanguard Star Fd Toral Intl S
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921909768
115
1930
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Mondelez Intl Inc
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609207105
115
1837
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American Express Company
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025816109
133
711
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Bristol-Myers Squibb Co
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110122108
139
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1900
0
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Camden Property Trust
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133131102
140
841
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Edwards Lifesciences Corp
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28176E108
141
1200
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1200
0
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Bank of NY Mellon Corp
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064058100
150
3021
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0
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Xcel Energy Inc
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98389b100
150
2084
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2084
0
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Lockheed Martin Corp
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539830109
151
342
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342
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Alliant Energy Corp
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018802108
155
2473
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Atmos Energy Corp
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049560105
174
1458
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1458
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Life Storage, Inc
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53223x107
175
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Deutsche Telekom AG ADR
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251566105
180
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Southern Co
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842587107
190
2617
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2617
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International Business Machine
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459200101
195
1502
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205
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0
0
Intra-Cellular Therapies, Inc
US EQUITIES
46116x101
217
3550
SH
SOLE
3550
0
0
International Flavors & Fragra
US EQUITIES
459506101
227
1725
SH
SOLE
1725
0
0
New Jersey Resources Corp
US EQUITIES
646025106
241
5250
SH
SOLE
5250
0
0
Philip Morris Intl Inc
US EQUITIES
718172109
243
2583
SH
SOLE
2583
0
0
FMC Corp
US EQUITIES
302491303
250
1900
SH
SOLE
1900
0
0
Duke Energy Corporation
US EQUITIES
26441c204
260
2328
SH
SOLE
2328
0
0
Illinois Tool Works Inc
US EQUITIES
452308109
272
1299
SH
SOLE
1299
0
0
Public Storage
US EQUITIES
74460d109
280
717
SH
SOLE
717
0
0
Procter & Gamble Co
US EQUITIES
742718109
320
2095
SH
SOLE
2095
0
0
Pepsico Inc
US EQUITIES
713448108
351
2095
SH
SOLE
2095
0
0
Nestle SA Spons ADR
US EQUITIES
641069406
355
2725
SH
SOLE
2725
0
0
Exxon Mobil Corp
US EQUITIES
30231g102
385
4667
SH
SOLE
4667
0
0
Walt Disney Co
US EQUITIES
254687106
388
2832
SH
SOLE
2832
0
0
AbbVie Inc
US EQUITIES
00287y109
396
2444
SH
SOLE
2444
0
0
Verizon Communications Inc
US EQUITIES
92343v104
403
7918
SH
SOLE
7918
0
0
Eli Lilly & Co
US EQUITIES
532457108
465
1624
SH
SOLE
1624
0
0
Vanguard ETF Index Funds Mid C
US EQUITIES
922908538
486
2180
SH
SOLE
2180
0
0
Colgate Palmolive Co
US EQUITIES
194162103
528
6967
SH
SOLE
6967
0
0
Deere & Co
US EQUITIES
244199105
541
1302
SH
SOLE
1302
0
0
Aptiv Plc F
US EQUITIES
g6095l109
605
5050
SH
SOLE
5050
0
0
PPG Industries Inc
US EQUITIES
693506107
721
5500
SH
SOLE
5500
0
0
Salesforce com
US EQUITIES
79466l302
807
3800
SH
SOLE
3800
0
0
McDonalds Corp
US EQUITIES
580135101
811
3280
SH
SOLE
3280
0
0
Goldman Sachs Group Inc
US EQUITIES
38141g104
813
2462
SH
SOLE
2462
0
0
Medtronic Inc
US EQUITIES
585055106
832
7497
SH
SOLE
7497
0
0
Wal-Mart Stores Inc
US EQUITIES
931142103
860
5775
SH
SOLE
5775
0
0
SS&C Technologies Hldgs Inc
US EQUITIES
78467j100
1069
14248
SH
SOLE
14248
0
0
Roche Holding Ltd Spons ADR
US EQUITIES
771195104
1150
23280
SH
SOLE
23280
0
0
Zebra Technologies Corp Cl A
US EQUITIES
989207105
1179
2850
SH
SOLE
2850
0
0
Crown Castle International Cor
US EQUITIES
22822v101
1368
7408
SH
SOLE
7408
0
0
Berkshire Hathaway IncDel Cl
US EQUITIES
084670702
1374
3894
SH
SOLE
3894
0
0
Unitedhealth Grp Inc
US EQUITIES
91324p102
1387
2720
SH
SOLE
2720
0
0
Regeneron Pharmaceuticals Inc
US EQUITIES
75886f107
1610
2305
SH
SOLE
2305
0
0
Boeing Co
US EQUITIES
097023105
1697
8862
SH
SOLE
8862
0
0
Alphabet Inc Class C
US EQUITIES
02079k107
2184
782
SH
SOLE
782
0
0
Merck & Co Inc
US EQUITIES
58933y105
2389
29112
SH
SOLE
29112
0
0
Nvidia Corp
US EQUITIES
67066g104
3376
12372
SH
SOLE
12372
0
0
ASML Holding NV
US EQUITIES
n07059210
4033
6038
SH
SOLE
6038
0
0
Generac Holdings Inc
US EQUITIES
368736104
4262
14336
SH
SOLE
14336
0
0
Blackstone Group Inc Cl A
US EQUITIES
09260d107
4684
36903
SH
SOLE
36903
0
0
Starbucks Corp
US EQUITIES
855244109
5484
60282
SH
SOLE
60282
0
0
Ford Motor Co
US EQUITIES
345370860
5534
327260
SH
SOLE
327260
0
0
Rockwell Automation Inc
US EQUITIES
773903109
5659
20209
SH
SOLE
20209
0
0
L3Harris Technologies Inc
US EQUITIES
502431109
6156
24775
SH
SOLE
24775
0
0
Ulta Beauty Inc
US EQUITIES
90384s303
6810
17101
SH
SOLE
17101
0
0
Linde PLC ADR
US EQUITIES
g5494j103
7223
22611
SH
SOLE
22611
0
0
Airbnb, Inc
US EQUITIES
00925dad5
7254
42233
SH
SOLE
42233
0
0
Broadridge Financial Solutions
US EQUITIES
11133t103
7567
48599
SH
SOLE
48599
0
0
Accenture Plc F Class A
US EQUITIES
g1151c101
7803
23139
SH
SOLE
23139
0
0
Taiwan Semiconductor Sponsored
US EQUITIES
874039100
8033
77050
SH
SOLE
77050
0
0
Petco Health & Wellness Compan
US EQUITIES
71601v105
8083
413045
SH
SOLE
413045
0
0
Chubb LTD F
US EQUITIES
h1467j104
8107
37901
SH
SOLE
37901
0
0
Schlumberger Ltd
US EQUITIES
806857108
8505
205875
SH
SOLE
205875
0
0
Bank of America Corp
US EQUITIES
060505104
8623
209201
SH
SOLE
209201
0
0
Home Depot Inc
US EQUITIES
437076102
8627
28821
SH
SOLE
28821
0
0
Cisco Systems Inc
US EQUITIES
17275r102
8773
157342
SH
SOLE
157342
0
0
Abbott Laboratories
US EQUITIES
002824100
8789
74257
SH
SOLE
74257
0
0
Mastercard Inc Class A
US EQUITIES
57636q104
9109
25489
SH
SOLE
25489
0
0
S&P Global Inc
US EQUITIES
78409v104
9232
22507
SH
SOLE
22507
0
0
Meta Platforms Class A Common
US EQUITIES
30303m102
9276
41716
SH
SOLE
41716
0
0
Morgan Stanley
US EQUITIES
617446448
9489
108573
SH
SOLE
108573
0
0
Jacobs Engineering Group Inc
US EQUITIES
469814107
10060
72997
SH
SOLE
72997
0
0
Johnson & Johnson
US EQUITIES
478160104
10084
56900
SH
SOLE
56900
0
0
Adobe Inc
US EQUITIES
00724f101
10687
23456
SH
SOLE
23456
0
0
Pfizer Inc
US EQUITIES
717081103
11351
219255
SH
SOLE
219255
0
0
JPMorgan Chase & Co
US EQUITIES
46625h100
11760
86264
SH
SOLE
86264
0
0
Costco Wholesale Co
US EQUITIES
22160k105
12245
21265
SH
SOLE
21265
0
0
Thermo Fisher Scntfc
US EQUITIES
883556102
12541
21233
SH
SOLE
21233
0
0
CVS Health Corp
US EQUITIES
126650100
12601
124505
SH
SOLE
124505
0
0
NextEra Energy Inc
US EQUITIES
65339f101
13039
153931
SH
SOLE
153931
0
0
Palo Alto Networks Inc
US EQUITIES
697435105
13467
21633
SH
SOLE
21633
0
0
Qualcomm Inc
US EQUITIES
747525103
13532
88551
SH
SOLE
88551
0
0
Amazon com Inc
US EQUITIES
023135106
15351
4709
SH
SOLE
4709
0
0
Alphabet Inc Class A
US EQUITIES
02079k305
18488
6647
SH
SOLE
6647
0
0
Apple Inc
US EQUITIES
037833100
21893
125384
SH
SOLE
125384
0
0
Microsoft Corp
US EQUITIES
594918104
27644
89662
SH
SOLE
89662
0
0
Vanguard Information Technolog
US EQUITY FUNDS
92204a702
83
200
SH
SOLE
200
0
0
Pimco ETF Tot Rtn Exch Traded
US TAXABLE BOND FUNDS
72201r775
7
650
SH
SOLE
650
0
0
Invesco Sr Loan ETF
US TAXABLE BOND FUNDS
46138g508
7
3100
SH
SOLE
3100
0
0
iShares Core Total U S Bd Mkt
US TAXABLE BOND FUNDS
464287226
123
1150
SH
SOLE
1150
0
0
Solar Capital Ltd
US TAXABLE BOND FUNDS
83413u100
139
7658
SH
SOLE
7658
0
0
AllianceBernstein Holding L P
US TAXABLE BOND FUNDS
01881g106
149
3160
SH
SOLE
3160
0
0
Energy Transfer Partners, LP
US TAXABLE BOND FUNDS
29273v407
196
8200
SH
SOLE
8200
0
0
Annaly Capital Management Inc
US TAXABLE BOND FUNDS
035710862
803
34513
SH
SOLE
34513
0
0
iShares IBOX $ Inv Grd Corp Bd
US TAXABLE BOND FUNDS
464287242
865
7149
SH
SOLE
7149
0
0
Golub Cap BDC Inc
US TAXABLE BOND FUNDS
38173m102
923
60706
SH
SOLE
60706
0
0
Charles Schwab Corp Prf
US TAXABLE BOND FUNDS
808513600
1111
43898
SH
SOLE
43898
0
0
Blackrock Municipal Target Ter
US TAX-EXEMPT BOND FUNDS
09257p105
23
1000
SH
SOLE
1000
0
0
Ishares IBonds Dec 2023 Term M
US TAX-EXEMPT BOND FUNDS
46435g318
51
2000
SH
SOLE
2000
0
0
Vaneck Vectors High-Yld Muni E
US TAX-EXEMPT BOND FUNDS
92189h409
880
15343
SH
SOLE
15343
0
0
Tritium FCFC Limited WTS
WARRANTS
242794113
24
7600
SH
SOLE
7600
0
0