Holdings are itemized directly on this plan's Schedule of Assets, below.
| PI | Investment | Type | Shares / units | Cost | Current value | % of plan |
|---|---|---|---|---|---|---|
| Fidelity Government Money Market Capital Reserves 580,527 shares | — | — | $788K | $788K | 42.0% | |
| Bedford Road Pharmacy, Inc. common stock | — | — | $1.5M | $356K | 19.0% | |
| VALERO ENERGY CORP 300 shares | — | — | $35K | $49K | 2.6% | |
| ABBVIE INC 250 shares | — | — | $34K | $44K | 2.4% |
| CHEVRON CORP 280 shares | — | — | $34K | $41K | 2.2% |
| FIRST UNITED CORP COM 1,000 shares | — | — | $17K | $34K | 1.8% |
| WELLTOWER INC 250 shares | — | — | $24K | $32K | 1.7% |
| INTERNATIONAL BUS MACH CORP 130 shares | — | — | $18K | $29K | 1.5% |
| Exchange Traded Fund VANGUARD REAL ESTATE ETF 300 shares | — | — | $24K | $27K | 1.4% |
| M&T BANK CORP 135 shares | — | — | $18K | $25K | 1.4% |
| SOUTHERN CO 290 shares | — | — | $19K | $24K | 1.3% |
| FNB CORP 1,500 shares | — | — | $17K | $22K | 1.2% |
| PPL CORP COM 660 shares | — | — | $19K | $21K | 1.1% |
| COCA‐COLA CO 330 shares | — | — | $19K | $21K | 1.1% |
| NATIONAL HEALTH INVESTORS INC 270 shares | — | — | $18K | $19K | 1.0% |
| REAVES UTILITY INCOME FUND 530 shares | — | — | $19K | $17K | 0.9% |
| NATIONAL GRID SPON ADR 280 shares | — | — | $18K | $17K | 0.9% |
| ISHARES TR INTL SEL DIV ETF 600 shares | — | — | $20K | $16K | 0.9% |
| BRISTOL‐MYERS SQUIBB 270 shares | — | — | $18K | $15K | 0.8% |
| AT&T INC 650 shares | — | — | $14K | $15K | 0.8% |
| GLAXOSMITHKLINE 376 shares | — | — | $16K | $13K | 0.7% |