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Filed: 15 Jun 22, 4:35pm

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

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OMB Number:3235-0006
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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
Abbott LabsCOM0028241003192,700SH SOLE 2,70000
Abbvie Inc.COM00287Y1092271,400SH SOLE 1,40000
Air Products & Chemicals IncCOM0091581062,60210,412SH SOLE 10,41200
Alphabet Inc. Class ACOM02079K3058,8143,169SH SOLE 3,16900
Alphabet Inc. Class CCOM02079K1071,522545SH SOLE 54500
Amazon Com IncCOM0231351069,8193,012SH SOLE 3,01200
American Electrical Power IncCOM0255371013493,500SH SOLE 3,50000
Amgen IncCOM0311621001,0084,170SH SOLE 4,17000
Angiodynamics Inc.COM03475V10124111,175SH SOLE 11,17500
Apple Inc.COM03783310014,75884,518SH SOLE 84,51800
Applied Materials Inc.COM0382221057285,525SH SOLE 5,52500
AT&T CorpCOM00206R1022,32598,385SH SOLE 98,38500
Bank of America CorpCOM0605051041,27630,950SH SOLE 30,95000
Blackstone Group LPCOM09253U1087405,828SH SOLE 5,82800
Boeing CoCOM0970231052,05010,707SH SOLE 10,70700
Booking Holdings Inc.COM09857L1083,4711,478SH SOLE 1,47800
Capital One Financial Corp.COM14040H1052391,820SH SOLE 1,82000
Caterpillar IncCOM1491231014,19418,823SH SOLE 18,82300
Citigroup Inc.COM1729674241,93636,251SH SOLE 36,25100
Coca Cola Co.COM1912161002994,820SH SOLE 4,82000
Consolidated EdisonCOM2091151049049,550SH SOLE 9,55000
Costco Wholesale CorpCOM22160K1051,3042,265SH SOLE 2,26500
Danaher Corp.COM2358511024,23414,434SH SOLE 14,43400
Deere & CoCOM2441991055,02412,092SH SOLE 12,09200
Disney Walt CoCOM2546871066044,400SH SOLE 4,40000
Dow Inc.COM2605571035458,550SH SOLE 8,55000
EOG Resources Inc.COM26875P1013,92232,895SH SOLE 32,89500
Exxon Mobil Corp.COM30231G1024195,075SH SOLE 5,07500
Fedex Corp.COM31428X1063,65315,786SH SOLE 15,78600
Freeport-McMoran Inc.COM35671D8573066,150SH SOLE 6,15000
General Electric CoCOM3696041033,38136,953SH SOLE 36,95300
Gilead Sciences IncCOM3755581034747,975SH SOLE 7,97500
GXO Logistics Inc.COM36262G1011,78525,025SH SOLE 25,02500
Home Depot IncCOM437076102217725SH SOLE 72500
Intel CorpCOM4581401004839,742SH SOLE 9,74200
Iron Mountain Inc.COM46284V10176713,850SH SOLE 13,85000
Johnson & JohnsonCOM4781601043,68020,764SH SOLE 20,76400
JP Morgan Chase & CoCOM46625H1003,52225,833SH SOLE 25,83300
Lam Research Corp.COM5128071083,4216,364SH SOLE 6,36400
Lockheed Martin Corp.COM539830109309700SH SOLE 70000
Mastercard Inc.Cl. A57636Q1043,5529,939SH SOLE 9,93900
McCormick & Co. Inc.COM5797802062,58825,932SH SOLE 25,93200
Merck & Co NewCOM58933Y1056748,217SH SOLE 8,21700
Microsoft CorpCOM5949181046,01319,502SH SOLE 19,50200
Netflix IncCOM64110L1066931,850SH SOLE 1,85000
Novo Nordisk A SADR6701002052141,930SH SOLE 1,93000
Nvidia Corp.COM67066G1046,27823,008SH SOLE 23,00800
Oneok Inc. NewCOM6826801032673,775SH SOLE 3,77500
Parker Hannifin Corp.COM7010941043,78313,332SH SOLE 13,33200
Pepsico Inc.COM7134481083,80222,716SH SOLE 22,71600
Pfizer IncCOM7170811031,72933,400SH SOLE 33,40000
Procter & Gamble Co.COM7427181095353,500SH SOLE 3,50000
Qualcomm IncCOM7475251032521,650SH SOLE 1,65000
Raytheon Technologies Corp.COM75513E1012973,000SH SOLE 3,00000
Salesforce.com IncCOM79466L3023,57516,839SH SOLE 16,83900
Schlumberger Ltd.COM8068571082626,350SH SOLE 6,35000
Servicenow Inc.COM81762P1023,8166,852SH SOLE 6,85200
Shopify Inc.COM82509L1071,6142,387SH SOLE 2,38700
JM Smucker CompanyCOM8326696402,43818,005SH SOLE 18,00500
Southern CompanyCOM8425871074356,000SH SOLE 6,00000
SVB Financial GroupCOM78486Q1013,1835,690SH SOLE 5,69000
Sysco Corp.COM8718291073183,900SH SOLE 3,90000
The Trade Desk Inc.COM88339J1054616,650SH SOLE 6,65000
Verizon Communications Inc.COM92343V1042,12941,800SH SOLE 41,80000
JP Morgan Chase & Co Prfrd Ser LPreferred48128B54987239,625SH SOLE 39,62500
JP Morgan Chase & Co Prfrd Ser DPreferred48128B6552188,500SH SOLE 8,50000
US Bancorp Prefrd Ser MPreferred90297371864331,075SH SOLE 31,07500
Angel Oak DFS Inc TRCOM03462A10226314,225SH SOLE 14,22500
Blackrock Capital Allocation TrustCOM09260U1091,56594,500SH SOLE 94,50000
Blackrock Muni Inc TRCOM09248F10982868,000SH SOLE 68,00000
Blackrock Muni NY FdCOM09255E10224717,500SH SOLE 17,50000
Eaton Vance Muni Bond FundCOM27827X10199886,808SH SOLE 86,80800
First Trust Intermediate Duration Pfd Incm.COM33718W1031,27457,950SH SOLE 57,95000
Flaherty & Crumrine Dynamic PfdPreferred33848W1061,10342,350SH SOLE 42,35000
Nuveen AMT-Free Municipal Credit Incm Fd.COM67071L1061,41095,323SH SOLE 95,32300
Nuveen NY AMT-Free Quality Incm.COM67065610791775,500SH SOLE 75,50000
Nuveen Muni Value Fund Inc.COM6709281001,174122,500SH SOLE 122,50000
Nuveen Preferred & Income Securities FdCOM67072C105849101,100SH SOLE 101,10000
Nuveen Variable Rate Preferred and IncomeCOM67080R10223010,000SH SOLE 10,00000
Pimco Dynamic Income FdCOM72201Y1012,02783,184SH SOLE 83,18400
Rivernorth Flexible Municipal Incm Fd IICOM76883Y10741025,000SH SOLE 25,00000
SPDR Portfolio Short Term Corp. Bond FundCOM78464A47430110,000SH SOLE 10,00000
Consumer Discretionary Select Sector SPDRCOM81369Y4073,20117,300SH SOLE 17,30000
Consumer Staples Select Sector SPDRCOM81369Y30877610,225SH SOLE 10,22500
Energy Select Sector SPDR ETFCOM81369Y5065437,100SH SOLE 7,10000
Exponential Technologies ETFCOM46434V3811,76729,925SH SOLE 29,92500
Financial Sector SPDR ETFCOM81369Y60552313,650SH SOLE 13,65000
First Trust DJ Internet Index ETFCOM33733E3023802,025SH SOLE 2,02500
Global X Nasdaq 100 Cover ETFCOM37954Y48324111,500SH SOLE 11,50000
Industrial Select Sector SPDR ETFCOM81369Y7042522,450SH SOLE 2,45000
Invesco QQQ Trust, Series 1COM46090E1031,7804,910SH SOLE 4,91000
Ishares Biotechnology ETFCOM4642875567525,775SH SOLE 5,77500
Ishares Dow Jones US ETFCOM4642878461,90417,100SH SOLE 17,10000
Ishares Global Healthcare ETFCOM4642873253463,950SH SOLE 3,95000
Ishares International Select Dividend ETFCOM46428844836511,500SH SOLE 11,50000
Ishares North American Tech ETFCOM46428754912,98233,405SH SOLE 33,40500
Ishares North American Tech Software ETFCOM4642875154,35012,610SH SOLE 12,61000
Ishares Russell 1000 Growth ETFCOM4642876145,67820,450SH SOLE 20,45000
Ishares Russell 2000 ETFCOM4642876553,01414,682SH SOLE 14,68200
Ishares Russell Mid-Cap ETFCOM46428749995212,201SH SOLE 12,20100
Ishares Russell Mid-Cap Growth ETFCOM4642874813,63636,180SH SOLE 36,18000
Ishares Russell Mid-Cap Value ETFCOM4642874739217,695SH SOLE 7,69500
Ishares S&P 500 Value ETFCOM4642874084052,600SH SOLE 2,60000
Ishares US Medical Devices ETFCOM4642888103,16451,900SH SOLE 51,90000
Ishares US Preferred Stock ETFCOM4642886872,93480,550SH SOLE 80,55000
Robo Global Robotics & AutomationCOM3015057071,08918,675SH SOLE 18,67500
SPDR S&P Biotech ETFCOM78464A8701,01711,320SH SOLE 11,32000
SPDR Gold TrustCOM78463V1072441,350SH SOLE 1,35000
SPDR S&P 500 ETF TrustCOM78462F1032,3265,150SH SOLE 5,15000
SPDR S&P 600 Small Cap ETFCOM78464A8133,35635,850SH SOLE 35,85000
SPDR Ser Tr S&P DividendCOM78464A7631,0518,200SH SOLE 8,20000
SPDR S&P Midcap 400COM78467Y1071,5453,150SH SOLE 3,15000
SPDR Fd TechnologyCOM81369Y8034,53828,550SH SOLE 28,55000
SPDR Fd UtilitiesCOM81369Y8863134,200SH SOLE 4,20000
Vaneck Semiconductor ETFCOM92189F6765412,005SH SOLE 2,00500
Vanguard Extended Market ETFCOM9229086521,2097,300SH SOLE 7,30000
Vanguard Growth ETFCOM9229087367,30225,390SH SOLE 25,39000
Vanguard High Div YieldCOM9219464066255,566SH SOLE 5,56600
Vanguard Large-Cap ETFCOM9229086373,34216,031SH SOLE 16,03100
Vanguard Mega Cap Growth ETFCOM9219108163,70815,750SH SOLE 15,75000
Vanguard Mid-Cap ETFCOM9229086292781,170SH SOLE 1,17000
Vanguard Mid Cap Growth ETFCOM9229085381,5647,020SH SOLE 7,02000
Vanguard Total Stock Market ETFCOM9229087695,88525,850SH SOLE 25,85000
Vanguard Value ETFCOM9229087444042,734SH SOLE 2,73400
Ishares TIPS Bond ETFCOM4642871761,80314,473SH SOLE 14,47300
Pimco Enhanced SH MAT ETFCOM72201R8334,06440,571SH SOLE 40,57100
SPDR Barclays High Yield Bd ETFCOM78468R6222082,030SH SOLE 2,03000
Vanguard Short Term Inflation Protected ETFCOM92202080556311,000SH SOLE 11,00000