Document


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington D.C. 20549
FORM 11-K
(Mark One)
 
ý
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2018
OR
 
 
¨
TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
Commission file number 001-37702
AMGEN RETIREMENT AND SAVINGS PLAN
(Full title of the plan)
AMGEN INC.
(Name of issuer of the securities held)
 
 
 
 
One Amgen Center Drive,
 
91320-1799
Thousand Oaks, California
 
(Zip Code)
(Address of principal executive offices)
 
 









Amgen Retirement and Savings Plan

Audited Financial Statements
and Supplemental Schedules
Years Ended December 31, 2018 and 2017

Contents
 
 
 
 
 
Audited Financial Statements:
 
 
 
 
 
Supplemental Schedules:
 
 
 




Report of Independent Registered Public Accounting Firm


To the Plan Participants and the Plan Administrator of Amgen Retirement and Savings Plan
Opinion on the Financial Statements
We have audited the accompanying statements of net assets available for benefits of Amgen Retirement and Savings Plan (the Plan) as of December 31, 2018 and 2017, and the related statements of changes in net assets available for benefits for the years then ended, and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2018 and 2017, and the changes in its net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.
Basis for Opinion
These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on the Plan’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.
We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion.
Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.
Supplemental Schedules
The accompanying supplemental schedule of assets (held at end of year) and schedule of loans or fixed income obligations in default or classified as uncollectible as of December 31, 2018, and schedules of assets (acquired and disposed of within year) and delinquent participant contributions for the year then ended, have been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The information in the supplemental schedules is the responsibility of the Plan’s management. Our audit procedures included determining whether the information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedules. In forming our opinion on the information, we evaluated whether such information, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the information is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ ERNST & YOUNG LLP
We have served as the Plan’s auditor since at least 1989, but we are unable to determine the specific year.
Los Angeles, California
June 17, 2019


1



Amgen Retirement and Savings Plan
Statements of Net Assets Available for Benefits



 
 
December 31,
 
 
2018
 
2017
Assets
 
 
 
 
Investments at fair value
 
$
4,459,347,913

 
$
4,728,903,739

Investments in fully benefit-responsive investment contracts at contract value
 
334,140,140

 
308,884,844

Notes receivable from participants
 
36,915,432

 
36,837,911

Other – principally due from broker
 
12,500,546

 
14,748,135

Total assets
 
4,842,904,031

 
5,089,374,629

Liabilities
 
 
 
 
Other – principally due to broker
 
18,745,633

 
25,568,208

Total liabilities
 
18,745,633

 
25,568,208

Net assets available for benefits
 
$
4,824,158,398

 
$
5,063,806,421

See accompanying notes.


2



Amgen Retirement and Savings Plan
Statements of Changes in Net Assets Available for Benefits



 
 
Years Ended December 31,
 
 
2018
 
2017
Additions to (deductions from) net assets:
 
 
 
 
Employer contributions
 
$
165,377,433

 
$
164,412,833

Participant contributions
 
144,134,715

 
140,087,454

Rollover contributions
 
24,796,315

 
30,284,469

Interest and dividend income
 
50,318,312

 
47,722,759

Net realized/unrealized (losses) gains
 
(266,015,430
)
 
682,360,724

Interest income on notes receivable from participants
 
1,736,057

 
1,599,902

Benefits paid
 
(349,720,602
)
 
(272,747,355
)
Investment and administrative fees
 
(10,274,823
)
 
(9,564,065
)
Net (decrease) increase
 
(239,648,023
)
 
784,156,721

Net assets available for benefits at beginning of year
 
5,063,806,421

 
4,279,649,700

Net assets available for benefits at end of year
 
$
4,824,158,398

 
$
5,063,806,421

See accompanying notes.


3



Amgen Retirement and Savings Plan
Notes to Financial Statements
December 31, 2018

1. Description of the Plan
The following description of the Amgen Retirement and Savings Plan (the Plan) provides only general information. Participants should refer to the Plan document for a more complete description of the Plan’s provisions.
General
The Plan was established effective April 1, 1985, and was amended and restated effective January 1, 2017, and subsequently amended, with the most recent amendment adopted on November 19, 2018. The Plan is a defined contribution plan covering substantially all domestic employees of Amgen Inc. (the Company or Amgen) and participating subsidiaries. The Plan is intended to qualify under sections 401(a) and 401(k) of the Internal Revenue Code of 1986 (the Code) (see Note 4, Income Tax Status) and section 407(d)(3)(A) of the Employee Retirement Income Security Act of 1974 (ERISA).
Contributions
Subject to certain limitations (as defined in the Plan), participants may elect to contribute up to 30% of their eligible compensation in pre-tax contributions, Roth contributions (in accordance with the Code), after-tax contributions or a combination of these types of contributions. A participant’s combined pre-tax contributions and Roth contributions (exclusive of catch-up contributions discussed below) are subject to Internal Revenue Service (IRS) and Plan limits and could not exceed a maximum of $18,500 in 2018 and $18,000 in 2017. Participant after-tax contributions are subject to IRS and Plan limitations and could not exceed a maximum of $9,000 in 2018 and 2017. Unless an employee has voluntarily enrolled in the Plan or has declined to participate in the Plan within the first 30 days of employment, all newly eligible participants are automatically enrolled in the Plan, and contributions equal to 5% of their eligible compensation are withheld and contributed to the Plan as pre-tax contributions; such contributions are automatically increased by 1% per year until their contributions reach 10% of their eligible compensation. Participants may elect to adjust, cease or resume their contributions at any time.
Participants who are at least age 50 by the close of the Plan year may also elect to make certain additional contributions, referred to as catch-up contributions, that are subject to IRS and Plan limitations and could not exceed $6,000 in 2018 and 2017. Catch-up contributions may be made as pre-tax contributions, Roth contributions or a combination of these types of contributions. Participants may also contribute pre-tax, Roth and after-tax amounts representing distributions from certain other retirement plans qualified in the United States or certain individual retirement accounts (IRAs), referred to as rollover contributions (as defined in the Plan).
Each pay period, the Company makes a non-elective contribution for all eligible participants, whether or not they have elected to make contributions to the Plan, equal to 5% of each participant’s eligible compensation (Core Contributions) up to a maximum of $13,750 in 2018 and $13,500 in 2017. In addition, the Company makes a contribution equal to amounts contributed by the participant as pre-tax contributions or Roth contributions, including such contributions designated as catch-up contributions, of up to 5% of eligible compensation (Matching Contributions) up to a maximum of $13,750 in 2018 and $13,500 in 2017.
Also, the Company can, in its discretion, make a special contribution on behalf of a participant who is in his or her initial year of employment with the Company and who could not make the maximum participant contribution permitted under the Plan because in the same Plan year he or she previously made pre-tax salary deferrals under a prior unrelated employer’s qualified plan.
Participants select the investments in which their contributions, including their Core Contributions and Matching Contributions (collectively, Company Contributions), are to be invested, electing among various alternatives, including Amgen common stock (Amgen stock). Participants may direct a maximum of 20% of contributions to be invested in Amgen stock. In addition, participants may transfer amounts among the investment options at any time, subject to certain limitations. Notwithstanding the foregoing, if 20% or more of the value of a participant’s Plan account is invested in Amgen stock, the Plan document provides that no transfers from other investment options can be made to invest in Amgen stock.
The accounts of participants who had never made an investment election are allocated to investments under a qualified default investment alternative, which is intended to be compliant with ERISA regulations. At any time, participants may elect to alter the investments in their accounts made under a qualified default investment alternative.

4



Amgen Retirement and Savings Plan
Notes to Financial Statements (continued)

Vesting
Participants are immediately vested with respect to their contributions, Company Contributions, and earnings and losses (hereafter referred to as earnings) thereon.
Participant Accounts
Each participant’s account is credited with: (a) the participant’s contributions; (b) an allocation of Company Contributions; and (c) earnings. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s account.
Plan Investments
Participants can invest in any of 16 different asset classes as well as Amgen stock or may actively manage their account under a self-directed brokerage arrangement in which a wider array of investment options are available. The value of an investment in an asset class is determined by its underlying investment vehicles, which may include one or more of the following: mutual funds, collective trust funds and portfolios which are separately managed exclusively for the benefit of Plan participants and their beneficiaries (separately managed portfolios). The separately managed portfolios invest in various types of assets, including publicly traded common and preferred stocks, fixed income securities, collective trust funds and investment contracts. The asset classes are designed to provide participants with choices among a variety of investment objectives.
Payments of Benefits
Subject to Plan limitations, upon termination of employment, including termination due to disability (as defined in the Plan) or retirement, participants may elect to receive a full or partial distribution of their account balance in: (a) a single payment in cash; (b) a single distribution in full shares of Amgen stock (with any fractional shares paid in cash); (c) a single distribution paid in a combination of cash and full shares of Amgen stock; (d) cash installments over 10 years; or (e) a rollover distribution to an eligible retirement plan.
Participants may also elect to maintain their account balance in the Plan subsequent to termination of employment, provided that their account balance is greater than $1,000.
If a participant dies before receiving the value of his or her account balance, the participant’s beneficiary may elect to receive the distribution of remaining funds from among the alternatives described above, subject to certain Plan limitations.
Certain restrictions apply to withdrawals from the Plan while a participant continues to be employed by the Company.
Amgen Stock Dividends
Participants that invest in Amgen stock may elect to receive distributions of cash with respect to dividends the Company pays on Amgen stock or reinvest such dividends to acquire additional shares of Amgen stock.
Notes Receivable from Participants
Subject to certain restrictions, a participant can have up to two loans outstanding at any one time from his or her Plan account with a combined maximum loan amount that may not exceed the lesser of: (a) 50% of the participant’s account balance (exclusive of amounts related to Roth contributions and earnings thereon) or (b) $50,000 less certain adjustments, as applicable (as defined in the Plan). A participant’s loan is secured by his or her Plan account balance. Loans made prior to July 1, 2003, bear interest at fixed rates based on the average borrowing rates of certain major banks. Loans made on or after July 1, 2003, bear interest at fixed rates which, until changed by the Company, are based on the prime rate plus one percentage point as published in The Wall Street Journal, determined as of the last day of the calendar quarter preceding origination or such other rate as may be required by law. Loans are generally payable in installments over periods of up to five years, unless the loan is used to acquire a principal residence for which the term of the loan may be up to 20 years. Principal and interest payments are allocated to the participant’s account.
Plan Termination
Although it has not expressed any intent to do so, the Company has the right under the Plan to terminate the Plan subject to the provisions of ERISA. Upon termination, participants would receive distributions of their account balances.

5



Amgen Retirement and Savings Plan
Notes to Financial Statements (continued)

Trustees
Bank of America, N.A. and The Northern Trust Company are the Plan’s co-trustees.
2. Summary of Significant Accounting Policies
Basis of Accounting
The accompanying financial statements are prepared on the accrual basis of accounting.
Fair Value Measurement
The investments of the Plan are reported at fair value, except for fully benefit-responsive investment contracts, discussed below. Fair value is generally defined as the price that would be received to sell an asset or paid to transfer a liability (the exit price) in an orderly transaction between market participants at the measurement date (see Note 3, Fair Value Measurements).
Investment Income and Losses
Dividend income is recognized on the ex-dividend date, and interest income is recorded on an accrual basis. Unrealized gains and losses on investments are measured by the change in the difference between the fair value and cost of the securities held at the beginning of the year (or date purchased if acquired during the Plan year) and the end of the year. Realized gains and losses from security transactions are recorded based on the weighted-average cost of securities sold.
Fully Benefit-Responsive Investment Contracts
As of December 31, 2018 and 2017, the Plan had fully benefit-responsive investment contracts, including synthetic investment contracts and an insurance separate accounts contract (collectively, security-backed contracts). The synthetic investment contracts are comprised of wrapper contracts issued by insurance companies backed by the Plan’s ownership in collective trust funds that invest in fixed income securities. The insurance separate accounts contract is a contract issued by an insurance company backed by specified separate accounts of the issuer which are comprised of fixed income securities. Contract value is the relevant measurement attribute for security-backed contracts because this is the amount participants would receive if they were to initiate qualified transactions related to these investments. The issuers of the Plan’s security-backed contracts credit the Plan with stated rates of interest, and the issuers guarantee that all qualified participant withdrawals related to the contracts will be at contract value, except as discussed below. The crediting rates provide for realized and unrealized gains and losses on the underlying assets to be amortized over the expected duration of the underlying investments through adjustments to the future interest crediting rates rather than being reflected immediately in the net assets of the Plan. The contract values of the Plan’s security-backed contracts were as follows:
 
December 31,
 
2018
 
2017
Synthetic investment contracts
$
248,593,590

 
$
229,137,030

Insurance separate accounts contract
85,546,550

 
79,747,814

Total fully benefit-responsive investment contracts
$
334,140,140

 
$
308,884,844

The security-backed contracts provide for withdrawals at other than contract value associated with certain events which are not in the ordinary course of Plan operations. These withdrawals are made at contract value, modified by a market value adjustment as defined in the contract. Circumstances which may trigger a market value adjustment are generally defined as any event that, in the reasonable determination of the issuer, has or will have a material adverse effect on the issuer’s interest under the contract. Such events may include, but are not limited to: (i) material amendments to the Plan’s structure or administration; (ii) changes in or the creation of competing investment options; (iii) complete or partial termination of the Plan; (iv) removal of a specifically identifiable group of employees from coverage under the Plan; (v) a change in law, regulation, ruling, administrative position, or accounting standard applicable to the Plan; or (vi) communication to Plan participants designed to influence a participant not to invest in the asset class that contains these contracts. The Company does not believe that the occurrence of any such event, which would limit the Plan’s ability to transact at contract value with participants, is probable.

6



Amgen Retirement and Savings Plan
Notes to Financial Statements (continued)

These security-backed contracts are evergreen contracts with no maturity dates, but do contain termination provisions. The issuer is obligated to pay the excess contract value when the fair value of the underlying investments equals zero. In addition, if the Plan defaults in its obligations under the security-backed contract and such default is not corrected within the time permitted by the contract, then the contract may be terminated by the issuer and the Plan will receive the fair value of the underlying investments as of the date of termination.
Notes Receivable from Participants
Notes receivable from participants are carried at their unpaid balance plus accrued but unpaid interest, as applicable.
Due from/to Brokers
Purchases and sales of investments are recorded on a trade-date basis. Amounts due from and due to brokers arise from unsettled sale and purchase transactions.
Use of Estimates
The preparation of financial statements in conformity with U.S. generally accepted accounting principles (GAAP) requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates.
Recently issued accounting pronouncement
In July 2018, the Financial Accounting Standards Board issued a new accounting standard that amends the fair value hierarchy disclosure to indicate that certain types of investments should not always be considered to be eligible to use the net asset value per unit as a practical expedient. Furthermore, this standard clarifies that an evaluation should be made of whether a readily determinable fair value exists for such investments or whether the investments qualify for measurement at the practical expedient. The Company is evaluating the new standard and currently anticipates that it will result in discontinuing the use of the practical expedient for determining the fair values of the Plan’s investments in collective trust funds. Accordingly, the aggregate fair value of such investments would be moved from its current location as reconciling item of the fair value hierarchy table into this table with an assigned fair value measurement level. The new standard is effective for years beginning on January 1, 2019, and will be applied prospectively.
3. Fair Value Measurements
The Plan uses various valuation approaches in determining the fair value of investments within a hierarchy that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that observable inputs be used when available. Observable inputs are inputs that market participants would use in pricing the investment based on market data obtained from independent sources. Unobservable inputs are inputs that reflect assumptions about the inputs that market participants would use in pricing the investment and are developed based on the best information available in the circumstances. The fair value hierarchy is divided into three levels based on the source of inputs as follows:
Level 1–Valuations based on unadjusted quoted prices in active markets for identical investments that the Plan has the ability to access;
Level 2–Valuations for which all significant inputs are observable, either directly or indirectly, other than Level 1 inputs;
Level 3–Valuations based on inputs that are unobservable and significant to the overall fair value measurement.
The availability of observable inputs can vary among the various types of investments. To the extent that the valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. In certain cases, the inputs used for measuring fair value may fall into different levels of the fair value hierarchy. In such cases, for financial statement disclosure purposes, the level in the fair value hierarchy within which the fair value measurement is categorized is based on the lowest level of input used that is significant to the overall fair value measurement.

7



Amgen Retirement and Savings Plan
Notes to Financial Statements (continued)

The following fair value hierarchy tables present information about each major class/category of the Plan’s investments measured at fair value:
 
 
Fair value measurements at December 31, 2018, using
 
 
Quoted prices in active markets for identical assets
(Level 1)
 
Significant
other observable
inputs
(Level 2)
 
Significant
unobservable
inputs
(Level 3)
 
Total
Amgen stock
 
$
317,909,793

 
$

 
$

 
$
317,909,793

Cash and cash equivalents
 
879,088

 

 

 
879,088

Common and preferred stocks
 
962,219,687

 

 

 
962,219,687

Debt securities
 
63,161,625

 
217,690,277

 

 
280,851,902

Mutual funds
 
308,833,562

 

 

 
308,833,562

Self-directed brokerage accounts
 
343,418,757

 
695,127

 

 
344,113,884

Other
 
7,892

 
4,848

 

 
12,740

 
 
$
1,996,430,404

 
$
218,390,252

 
$

 
$
2,214,820,656

Collective trust funds measured at net asset value
 
 
 
 
 
 
 
2,244,527,257

Total assets at fair value
 
 
 
 
 
 
 
$
4,459,347,913

 
 
 
Fair value measurements at December 31, 2017, using
 
 
Quoted prices in active markets for identical assets
(Level 1)
 
Significant
other observable
inputs
(Level 2)
 
Significant
unobservable
inputs
(Level 3)
 
Total
Amgen stock
 
$
297,544,696

 
$

 
$

 
$
297,544,696

Cash and cash equivalents
 
3,882,809

 

 

 
3,882,809

Common and preferred stocks
 
1,028,062,405

 
731

 

 
1,028,063,136

Debt securities
 
56,120,535

 
182,673,422

 

 
238,793,957

Mutual funds
 
386,674,940

 

 

 
386,674,940

Self-directed brokerage accounts
 
369,058,245

 
697,038

 

 
369,755,283

Other
 
77,000

 

 

 
77,000

 
 
$
2,141,420,630

 
$
183,371,191

 
$

 
$
2,324,791,821

Collective trust funds measured at net asset value
 
 
 
 
 
 
 
2,404,111,918

Total assets at fair value
 
 
 
 
 
 
 
$
4,728,903,739

The fair values of common stocks (including Amgen stock), preferred stocks, publicly traded mutual funds and U.S. treasury securities are valued using quoted market prices in active markets with no valuation adjustment.
Debt securities other than U.S. treasury securities are valued by taking into consideration valuations obtained from third-party pricing services. The pricing services use industry-standard valuation models, including both income- and market-based approaches, for which all significant inputs are observable either directly or indirectly to estimate fair value. The inputs include reported trades of and broker-dealer quotes on the same or similar securities; issuer credit spreads; benchmark securities; and other observable inputs.
Collective trust funds represent interests in pooled investment vehicles designed typically for collective investment of employee benefit trusts. The fair values of these investments are determined by reference to the net asset value per unit provided by the fund managers as a practical expedient. The unit values are based on the fair values of the trusts’ underlying assets, which are principally equity and fixed income securities and short-term investments.

8



Amgen Retirement and Savings Plan
Notes to Financial Statements (continued)

4. Income Tax Status
The Plan received a determination letter from the IRS dated February 22, 2018, stating that, conditioned on the adoption of proposed Plan amendments submitted to the IRS on February 15, 2018, the Plan is qualified, in form, under Section 401(a) of the Code and, therefore, the related trust is exempt from taxation. Subsequent to this determination by the IRS, the Plan was amended to satisfy the conditions in the determination letter. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualification. The Company believes the Plan is currently being operated in compliance with the applicable requirements of the Code and, therefore, believes that the Plan is qualified and the related trust is tax exempt. The Company has indicated that it currently intends to continue to take the necessary steps to maintain the Plan’s compliance with the applicable requirements of the Code.
5. Services Provided by the Company
During 2018 and 2017, the Company paid certain trustee fees and other administrative costs on behalf of the Plan.
6. Reconciliation of Financial Statements to Form 5500
The reconciliation of net assets available for benefits per the financial statements to the Form 5500 consisted of the following:
 
 
December 31,
 
 
2018
 
2017
Net assets available for benefits per the financial statements
 
$
4,824,158,398

 
$
5,063,806,421

Adjustment to fair value for fully benefit-responsive investment contracts
 
(3,969,613
)
 
(750,062
)
Amounts allocated to withdrawing participants
 
(878,929
)
 
(3,892,137
)
Deemed loans
 
(347,317
)
 
(224,309
)
Net assets per the Form 5500
 
$
4,818,962,539

 
$
5,058,939,913

The following is a reconciliation of the net investment gain per the financial statements to the Form 5500: 
 
 
Year Ended
December 31,
2018
Interest and dividend income
 
$
50,318,312

Net realized/unrealized losses
 
(266,015,430
)
Net investment loss per the financial statements
 
(215,697,118
)
Adjustment from fair value to contract value for fully benefit-responsive investment contracts:
 
 
Less prior-year adjustment
 
750,062

Add current-year adjustment
 
(3,969,613
)
Total net investment gain per the Form 5500
 
$
(218,916,669
)

9



Amgen Retirement and Savings Plan
Notes to Financial Statements (continued)

The following is a reconciliation of distributions per the financial statements to the Form 5500:
 
 
Year Ended
December 31,
2018
Benefits paid
 
$
(349,720,602
)
Investment and administrative fees
 
(10,274,823
)
Total distributions per the financial statements
 
(359,995,425
)
Amounts allocated to withdrawing participants at December 31, 2017
 
3,892,137

Amounts allocated to withdrawing participants at December 31, 2018
 
(878,929
)
Deemed loan balance at December 31, 2017
 
224,309

Deemed loan balance at December 31, 2018
 
(347,317
)
Total distributions per the Form 5500
 
$
(357,105,225
)

10



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Supplemental Schedule
Amgen Retirement and Savings Plan
EIN: 95-3540776 Plan: #001
As of December 31, 2018
Schedule H, line 4i – Schedule of Assets (Held at End of Year)
 
Identity of Issue
 
Description of Investment
 
 Current Value
Amgen Stock*
 
Employer Securities 1,782,285 shares
 
$
317,909,793

 
 
 
 
317,909,793

 
 
 
 
 
 
 
Capital Preservation Asset Class:
 
 
 
 
 
 
Wells Fargo Fixed Income Fund F*
 
Collective Trust Fund 8,719,899 units
 
124,878,549

 
 
Wells Fargo Fixed Income Fund L*
 
Collective Trust Fund 9,404,499 units
 
120,860,040

 
 
Metropolitan Life Contract*
 
Insurance Separate Accounts Investment Contract 754,537 units
 
84,431,938

 
 
Wells Fargo BlackRock Short Term Investment Fund S*
 
Collective Trust Fund 14,455,486 units
 
14,468,383

 
 
Wrapper Contracts
 
 
 

 
Total Capital Preservation Asset Class
 
 
344,638,910

 
 
 
 
 
 
 
Emerging Markets Equity Asset Class:
 
 
 
 
 
 
Blackrock FTSE RAFI Emerging Index Non Lendable Fund F*
 
Collective Trust Fund 4,183,303 units
 
50,609,602

 
 
J.P. Morgan Emerging Markets Equity Focus Fund*
 
Collective Trust Fund 2,344,014 units
 
49,529,020

 
 
NT Collective Emerging Markets Fund / Non Lending*
 
Collective Trust Fund 57,682 units
 
9,504,917

 
 
TCW Emerging Markets Income Fund*
 
Collective Trust Fund 14,188 units
 
1,427,621

 
Total Emerging Markets Equity Asset Class
 
 
 
 
111,071,160

 
 
 
 
 
 
 
Fixed Income Asset Class:
 
 
 
 
 
 
Wi Treasury Security 3.375% Due 11/15/2048
 
Government Bond 7,550,000 units
 
8,073,781

 
 
United States Treasury Notes 2.875% Due 10/31/2023
 
Government Bond 6,840,000 units
 
6,953,824

 
 
United States Of American Treasury Bond 3.125% 11/15/2028
 
Government Bond 4,440,000 units
 
4,605,461

 
 
United States Treasury Notes Dated 05/15/2018 2.625% Due 05/15/2021
 
Government Bond 2,696,000 units
 
2,704,635

 
 
Metropolitan West Funds Floating Rate Income Fund Class I
 
Mutual Fund 254,487 units
 
2,465,980

 
 
US Treasury N/B Dated 2.875% Due 09/30/2023
 
Government Bond 2,280,000 units
 
2,317,050

 
 
Federal Home Loan Mortgage Corporation Pool #G08732 3% Due 11/01/2046
 
Government Bond 2,284,174 units
 
2,228,241

 
 
Fannie Mae Pool #466430 3.37% Due 11/01/2020
 
Government Bond 2,116,706 units
 
2,178,329

 
 
United States Treasury SEC Stripped Interest Payment Due 05/15/2023
 
Government Bond 2,340,000 units
 
2,093,755

 
 
United States Treasury SEC Stripped Interest Payment Due 05/15/2034
 
Government Bond 3,220,000 units
 
2,058,317

 
 
Fannie Mae Pool #BM1767 4.5% Due 08/01/2046
 
Government Bond 1,795,449 units
 
1,869,415

 
 
United States Treasury Notes 2.625% Due 12/31/2023
 
Government Bond 1,800,000 units
 
1,809,421

 

11



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
United States Treasury SEC Stripped Interest Payment Due 02/15/2021
 
Government Bond 1,905,000 units
 
1,807,018

 
 
United States Treasury Bond Zero Coupon Due 08/15/2023
 
Government Bond 1,915,000 units
 
1,703,059

 
 
United States Treasury SEC Stripped Interest Payment Due 11/15/2032
 
Government Bond 2,400,000 units
 
1,607,614

 
 
Federal Home Loan Mortgage Company G67708 3.5% Due 03/01/2048
 
Government Bond 1,443,510 units
 
1,445,953

 
 
United States Treasury Bonds 3.75 Due 11/15/2043
 
Government Bond 1,250,000 units
 
1,411,768

 
 
United States Treasury SEC Stripped Interest Payment Due 08/15/2021
 
Government Bond 1,505,000 units
 
1,409,762

 
 
Federal Home Loan Mortgage Company Gold Pool# G67710 3.5% 03/01/2048
 
Government Bond 1,398,018 units
 
1,399,077

 
 
United States Treasury SEC Stripped Interest Payment Due 02/15/2029
 
Government Bond 1,820,000 units
 
1,368,735

 
 
Federal Home Loan Mortgage Company Gold Single Family 3.5% 15 Years Settles January
 
Government Bond 1,350,000 units
 
1,367,060

 
 
United States Treasury SEC Stripped Interest Payment Due 11/15/2022
 
Government Bond 1,500,000 units
 
1,359,911

 
 
Federal Home Loan Mortgage Company Gold G67709 3.5% Due 03/01/2048
 
Government Bond 1,340,606 units
 
1,344,329

 
 
United States Treasury Bonds 3.625 Due 02/15/2044 Tbond
 
Government Bond 1,200,000 units
 
1,329,281

 
 
Federal Home Loan Mortgage Company Gold G67707 3.5% Due 01/01/2048
 
Government Bond 1,311,696 units
 
1,317,779

 
 
United States Treasury Bonds 3.625 Due 08/15/2043
 
Government Bond 1,150,000 units
 
1,272,951

 
 
Federal Home Loan Mortgage Company G67706 3.5% Due 12/01/2047
 
Government Bond 1,256,680 units
 
1,260,169

 
 
United States Treasury Notes 2.25% 01/31/2024
 
Government Bond 1,250,000 units
 
1,233,740

 
 
United States Treasury Bonds 2.875% Due 05/15/2043
 
Government Bond 1,240,000 units
 
1,210,502

 
 
Federal National Mortgage Association Pool #MA3332 3.5% 04/01/2048
 
Government Bond 1,176,395 units
 
1,176,491

 
 
Government National Mortgage Association II Pool #MA4512 4.5% Due 06/20/2047
 
Government Bond 1,123,181 units
 
1,162,970

 
 
United States Treasury Inflation Indexed Notes 0.75% 07/15/2028
 
Government Bond 1,080,000 units
 
1,064,841

 
 
Fannie Mae REMIC Trust 2010/142 4% Due 12/25/2040
 
Government Bond 1,000,000 units
 
1,049,854

 
 
Federal Home Loan Mortgage Company Multiclass Series R007 Class ZA 6 05/15/2036
 
Government Bond 906,774 units
 
1,009,665

 
 
United States Treasury Note 2.625% Due 11/15/2020
 
Government Bond 1,000,000 units
 
1,001,836

 
 
Wells Fargo Bank N A 2.4% Due 01/15/2020*
 
Corporate Bond 1,000,000 units
 
991,494

 
 
Federal Home Loan Mortgage Company Gold Single Family 4.5 30 Years Settles Jan
 
Government Bond 950,000 units
 
983,337

 
 
United States Treasury Bond Inflation Index 5.500% Due 8/15/2028
 
Government Bond 750,000 units
 
926,543

 
 
Federal National Mortgage Association Due Series 2018/M10 Class A2 Variable Rate 07/25/2028
 
Government Bond 924,000 units
 
919,912

 
 
Federal Home Loan Mortgage Corporation Pool #G08741 3% Due 01/01/2047
 
Government Bond 941,665 units
 
918,078

 
 
Fannie Mae Pool #465769 3.96% Due 08/01/2020
 
Government Bond 902,292 units
 
916,760

 

12



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Treasury Inflation IX N/B 1% Tips 02/15/2048
 
Government Bond 910,000 units
 
884,251

 
 
United States Treasury Bond Stripped Principal Payment 11/15/2041
 
Government Bond 1,750,000 units
 
879,561

 
 
United States Treasury Bills 04/04/2019 United States Treasury Bills
 
Government Bond 868,000 units
 
862,618

 
 
Federal Home Loan Mortgage Corporation Pool #G60344 4% Due 12/01/2045
 
Government Bond 832,900 units
 
855,223

 
 
United States Treasury SEC Stripped Interest Payment Due 02/15/2020
 
Government Bond 870,000 units
 
845,327

 
 
Federal Home Loan Mortgage Corporation Gold G60023 3.5% Due 04/01/2045
 
Government Bond 831,660 units
 
837,573

 
 
Government National Mortgage Association REMIC Series 2014/188 Class W Variable Rate 10/20/2041
 
Government Bond 795,654 units
 
836,956

 
 
Federal Home Loan Mortgage Corporation Series K Class A 2.77% Due 05/25/2025
 
Government Bond 850,000 units
 
834,638

 
 
Federal National Mortgage Association Pool #AN9699 3.53% Due 08/01/2028
 
Government Bond 800,000 units
 
809,950

 
 
Government National Mortgage Association II Pool #MA4126 Series 2046 3% Due 12/20/2046
 
Government Bond 810,848 units
 
799,178

 
 
United States Of American Treasury Notes 2.75% 09/30/2020
 
Government Bond 795,000 units
 
797,981

 
 
CPS Auto Receivables Trust 2018/C Asset Backed Note Class C 3.68% 06/17/2024
 
Corporate Bond 793,000 units
 
797,561

 
 
Federal Home Loan Mortgage Company Multiclass Senior K081 Class A2 Variable Rate 08/25/2028
 
Government Bond 760,000 units
 
792,089

 
 
Government National Mortgage Association Pool #BI0728 5% 07/20/2048
 
Government Bond 745,381 units
 
790,363

 
 
United States Treasury SEC Stripped Interest Payment Due 05/15/2022
 
Government Bond 860,000 units
 
789,746

 
 
Federal National Mortgage Association Pool #387905 3.6% 01/01/2027
 
Government Bond 761,779 units
 
780,949

 
 
Wachovia Student Loan Floating Rate .7886% Due 04/25/2040*
 
Corporate Bond 780,000 units
 
767,042

 
 
Sallie Mae Student Loan Trust 2008-8 Student Loan Backed Note Class A-4 Floating 04/25/2023
 
Corporate Bond 750,677 units
 
763,849

 
 
United States Treasury Bonds 4.375% Due 05/15/2040
 
Government Bond 620,000 units
 
761,098

 
 
Federal National Mortgage Association REMIC Trust 2006/21 Class/Z 5.5% Due 04/25/2036
 
Government Bond 693,636 units
 
758,341

 
 
SLC Student Loan Trust Floating Rate .672% Due 09/15/2039
 
Corporate Bond 770,000 units
 
749,295

 
 
United States Treasury SEC Stripped Interest Payment Due 11/15/2027
 
Government Bond 950,000 units
 
744,530

 
 
Fannie Mae Single Family Mortgage 4% 30 Years Settles January
 
Government Bond 730,000 units
 
744,144

 
 
Residential Asset Securities Corporation 2005/Ahl2 Class M1 Variable Rate 10/25/2035
 
Corporate Bond 750,000 units
 
743,756

 
 
Federal Home Loan Mortgage Corporation Gold G67703 3.5% Due 04/01/2047
 
Government Bond 740,156 units
 
742,668

 
 
Federal Home Loan Mortgage Corporation Pool #G08843 4.5% 10/01/2048
 
Government Bond 713,166 units
 
738,518

 
 
Federal National Mortgage Association Pool #BL0515 3.26% Due 12/01/2025
 
Government Bond 730,000 units
 
736,826

 
 
Federal National Mortgage Association Guaranteed Mortgage Pool #Al0515 6% 07/01/2040
 
Government Bond 660,438 units
 
731,093

 

13



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Japan(Government Of) 0% T-Bill 25/02/2019 JPY
 
Government Bond 80,000,000 units
 
729,331

 
 
Japan(Government Of) 0% T-Bill 28/01/2019 JPY
 
Government Bond 80,000,000 units
 
729,239

 
 
Japan(Government Of) 0% T-Bill 09/01/2019 JPY
 
Government Bond 80,000,000 units
 
729,174

 
 
United States Treasury Bond Zero Coupon Due 02/15/2030
 
Government Bond 1,000,000 units
 
728,480

 
 
Government National Mortgage Association REMIC 2018/066 Class WA Floating 04/20/2048
 
Government Bond 664,313 units
 
728,290

 
 
Federal National Mortgage Association Pool #387904 3.84% 08/01/2028
 
Government Bond 700,000 units
 
725,955

 
 
Fannie Mae Service 2018/55 Classes PA 3.5% Due 12/31/2040
 
Government Bond 703,927 units
 
714,110

 
 
United States Treasury 1.375% Due 09/30/2023
 
Government Bond 750,000 units
 
712,061

 
 
Government National Mortgage Association Pool #MA4836 3% 11/20/2047
 
Government Bond 721,895 units
 
711,100

 
 
Federal Home Loan Mortgage Corporation Pool #G08800 3.5% 02/01/2048
 
Government Bond 705,805 units
 
705,591

 
 
Federal Home Loan Mortgage Corporation Pool #G08779 3.5% 09/01/2047
 
Government Bond 699,394 units
 
699,548

 
 
Federal National Mortgage Association Tranche Series 2018/57 Class QA 4.5% Due 05/25/2046
 
Government Bond 688,612 units
 
698,114

 
 
SLM Student Loan Trust 2005/5 Class A/5 Due 10/25/2040
 
Corporate Bond 700,000 units
 
694,271

 
 
United States Treasury SEC Stripped Interest Payment Due 05/15/2021
 
Government Bond 730,000 units
 
687,889

 
 
United States Treasury SEC Stripped Interest Payment Due 11/15/2026
 
Government Bond 850,000 units
 
687,440

 
 
JP Morgan Mortgage Acquisition Corporation Dated 05/15/2007 2007/Ch3 Class A/5 Due 03/25/2037*
 
Corporate Bond 700,000 units
 
684,968

 
 
Federal National Mortgage Association Pool #BK5943 5% 06/01/2048
 
Government Bond 639,973 units
 
677,892

 
 
Towd Point Mortgage Trust 2017/4 Note Class A1 Variable Rate Due 06/25/2057
 
Corporate Bond 695,947 units
 
677,145

 
 
Government National Mortgage Association Pool #BH2971 5% 06/20/2048
 
Government Bond 629,742 units
 
667,649

 
 
New Century Home Equity Loan Trust Series 2004/2 Class A1 Floating Rate Due 08/25/2034
 
Corporate Bond 671,615 units
 
662,727

 
 
Fannie Mae Pool #MA2545 3.5% Due 02/01/2046
 
Government Bond 658,348 units
 
660,020

 
 
United States Treasury SEC Stripped Interest Payment Due 02/15/2027
 
Government Bond 820,000 units
 
658,276

 
 
Morgan Stanley Floating Due 02/14/2020
 
Corporate Bond 650,000 units
 
650,017

 
 
GS Mortgage Securities Corporation Floating Rate 2.9155% Due 06/25/2035
 
Corporate Bond 650,000 units
 
647,924

 
 
GS Mortgage Backed Securities Trust Series 18/RPL1 Class A1A 3.75% 10/25/2057
 
Corporate Bond 643,507 units
 
645,827

 
 
Ginnie Mae II Jumbos 5% Due 30 Years Settles January
 
Government Bond 620,000 units
 
645,260

 
 
DSLA Mortgage Loan Trust 2004/AR1 Mortgage Pass-Through CTF Class A/1A Due 09/19/2044
 
Corporate Bond 647,959 units
 
638,024

 
 
United States Treasury Bonds Dated 02/15/2001 5.375 15 Feb 2031
 
Government Bond 500,000 units
 
635,235

 
 
United States Treasury SEC Stripped Interest Payment Due 08/15/2020
 
Government Bond 650,000 units
 
623,764

 
 
WaMu Mortgage Pass/Thru CTFs 2004/AR4 Class A/6 Variable 02/25/2034
 
Corporate Bond 599,330 units
 
610,593

 

14



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Nextera Energy Capital Holdings Inc. Deb Floating Due 05/04/2021
 
Corporate Bond 615,000 units
 
609,016

 
 
Wells Fargo & Company 3% Due 04/22/2026*
 
Corporate Bond 645,000 units
 
601,036

 
 
SLM Student Loan Trust 2014/2 Class A/3 Floating Rate Due 03/26/2029
 
Corporate Bond 597,253 units
 
599,526

 
 
Government National Mortgage Association Pool #MA4962 3.5% 01/20/2048
 
Government Bond 595,359 units
 
599,313

 
 
JP Morgan Chase Bank 2.604% Due 02/01/2021*
 
Corporate Bond 600,000 units
 
595,235

 
 
Sallie Mae Student Loan Trust Flat Rate A-Backed 09/25/2028
 
Corporate Bond 585,019 units
 
585,950

 
 
Federal National Mortgage Association Pool #MA3210 3.5% 12/01/2047
 
Government Bond 585,264 units
 
585,306

 
 
Federal Home Loan Mortgage Corporation Pool #G08816 3.5% 06/01/2048
 
Government Bond 568,727 units
 
568,589

 
 
United States Treasury SEC Stripped Interest Payment Due 08/15/2034
 
Government Bond 875,000 units
 
555,429

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 4324 Class AY 3% Due 04/15/2029
 
Government Bond 568,738 units
 
551,842

 
 
Anthem Inc. 2.5% Due 11/21/2020
 
Corporate Bond 555,000 units
 
547,377

 
 
J.P. Morgan Mortgage Floating Rate .9058% Due 06/25/2035*
 
Corporate Bond 540,569 units
 
540,043

 
 
United States Treasury Bonds 3.0% Due 08/15/2048
 
Government Bond 540,000 units
 
537,447

 
 
Morgan Stanley Floating Due 07/22/2022
 
Corporate Bond 540,000 units
 
532,421

 
 
Washington Mutual Mortgage Pass-Through Series 2005/AR2 Class 1A1A Floating Rate Due 01/25/2045
 
Corporate Bond 527,073 units
 
525,875

 
 
Towd Point Mortgage Trust Series 2017/1 Class A1 Floating Rate Due 10/25/2056
 
Corporate Bond 531,893 units
 
520,300

 
 
Federal National Mortgage Association Pool #AN9976 3.96% Due 02/01/2030
 
Government Bond 500,000 units
 
519,703

 
 
Federal National Mortgage Association Pool #BK5925 5% 06/01/2048
 
Government Bond 491,783 units
 
515,775

 
 
Sallie Mae Student Loan Trust 2008-6 Student Loan Backed Note Class A-4 Floating 07/25/2023
 
Corporate Bond 509,156 units
 
512,917

 
 
Fannie Mae Pool #AV5051 4.50% Due 02/01/2044
 
Government Bond 486,904 units
 
508,662

 
 
United States Treasury Bills 0% T-Bill 04/18/2019
 
Government Bond 512,000 units
 
508,391

 
 
Federal National Mortgage Association Pool #AN9686 3.52% Due 06/01/2028
 
Government Bond 500,000 units
 
505,808

 
 
Synchrony Card Issuance Trust Series 18/1A Class A1 3.38% 09/16/2024
 
Corporate Bond 500,000 units
 
504,543

 
 
Fannie Mae Pool #AM2711 2.57% Due 03/01/2023
 
Government Bond 507,633 units
 
504,443

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3895 Class PW 4.5% Due 07/15/2041
 
Government Bond 450,000 units
 
503,096

 
 
Fannie Mae Pool #AM1990 2.33% Due 01/01/2023
 
Government Bond 508,271 units
 
500,704

 
 
United States Treasury 3.0% Due 11/15/2045
 
Government Bond 500,000 units
 
498,965

 
 
Fannie Mae Pool #AM8674 2.81% Due 04/01/2025
 
Government Bond 500,000 units
 
495,688

 
 
Federal National Mortgage Association Pool #AN9056 3.33% 05/01/2028
 
Government Bond 495,645 units
 
495,550

 

15



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Fannie Mae Pool #MA1546 3.5% Due 08/01/2043
 
Government Bond 491,329 units
 
494,243

 
 
United States Treasury 2.25% Due 02/15/2027
 
Government Bond 508,000 units
 
493,276

 
 
Federal Home Loan Mortgage Corporation Pool #G08844 5%10/01/2048
 
Government Bond 470,302 units
 
492,940

 
 
WEA Financial LLC / Westfield UK & Europe Finance PLC 2.7% Due 09/17/2019
 
Corporate Bond 494,000 units
 
491,813

 
 
Bank of America Corporation 2.369% Due 07/21/2021*
 
Corporate Bond 500,000 units
 
491,053

 
 
Federal Home Loan Mortgage Company Pool #G08795 3 01/01/2048
 
Government Bond 503,688 units
 
491,037

 
 
GE Capital International Funding Company 4.418% Due 11/15/2035
 
Corporate Bond 581,000 units
 
486,626

 
 
Federal National Mortgage Association Pool #MA3305 3.5% 03/01/2048
 
Government Bond 484,926 units
 
484,961

 
 
Fannie Mae Pool #AT5907 4% Due 06/01/2043
 
Government Bond 468,164 units
 
483,732

 
 
J.P. Morgan Chase & Company 3.22% Due 03/01/2025*
 
Corporate Bond 500,000 units
 
482,991

 
 
Nelnet Student Loan Trust Series 2015/3 Class A/2 Floating Rate Due 02/26/2046
 
Corporate Bond 483,496 units
 
481,755

 
 
Banc of America Funding Corporation Series 2015/R7 Class 1A 1.03833%*
 
Corporate Bond 474,158 units
 
476,393

 
 
Citibank N A 3.05% Due 05/01/2020
 
Corporate Bond 475,000 units
 
474,397

 
 
JP Morgan Chase Bank NA Global Senior Bank Note Prtranche # Trust 372 02/13/2020*
 
Corporate Bond 475,000 units
 
474,371

 
 
SLM Student Loan Trust 2009/3 Class A Variable Rate Due 01/25/2045
 
Corporate Bond 475,159 units
 
472,380

 
 
Federal Home Loan Mortgage Corporation Pool #G08831 4%08/01/2048
 
Government Bond 459,484 units
 
468,541

 
 
CSAIL 2015/C3 3.7182% Due 08/15/2048
 
Corporate Bond 463,000 units
 
467,498

 
 
Fannie Mae Pool #AT5915 4% Due 06/01/2043
 
Government Bond 450,312 units
 
461,958

 
 
Sallie Mae Student Loan Trust 2008-3 Student Loan Backed Notes Floating Rate 10/25/2021
 
Corporate Bond 459,224 units
 
459,906

 
 
Fannie Mae REMIC Series 2015/M4 Class AV2 2.509% Due 07/25/2022
 
Government Bond 462,932 units
 
459,460

 
 
Federal Home Loan Mortgage Corporation Pool #U95161 5%10/01/2043
 
Government Bond 426,022 units
 
457,085

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 4158 Class TY 3% Due 01/15/2043
 
Government Bond 500,000 units
 
456,509

 
 
Fannie Mae Pool #Al7092 3% Due 07/01/2045
 
Government Bond 461,873 units
 
451,346

 
 
Fannie Mae Pool #AM7514 3.07% Due 02/01/2025
 
Government Bond 450,000 units
 
450,114

 
 
Fannie Mae Pool #Al6167 3.5% Due 01/01/2044
 
Government Bond 445,826 units
 
448,467

 
 
DBWF 2015/LCM Mortgage Trust Floating Rate Due 06/10/2034
 
Corporate Bond 460,000 units
 
445,237

 
 
Santander Drive Auto Fixed 2.79% Due 08/15/2022
 
Corporate Bond 442,000 units
 
439,897

 
 
World Omni Auto Receivables Series 18/B Class A3 2.93% Due 07/17/2023
 
Corporate Bond 440,000 units
 
439,026

 
 
Fannie Mae REMIC Series 2015/M7 Class A2 2.59% Due 12/25/2024
 
Government Bond 447,000 units
 
435,198

 
 
Wells Fargo Bank N A 3.625% Due 10/22/2021*
 
Corporate Bond 430,000 units
 
432,545

 
 
Federal Home Loan Mortgage Company Multiclass Senior 18/1 Class A1 3.5% 06/25/2028
 
Government Bond 427,712 units
 
427,520

 

16



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Fannie Mae Series 2014-M3 Class A2 Variable Rate Due 01/25/2024
 
Government Bond 415,000 units
 
424,941

 
 
AT&T Inc. 3.4% Due 05/15/2025
 
Corporate Bond 450,000 units
 
423,744

 
 
JP Morgan Chase Bank Floating Rate 3.086% Due 04/26/2021*
 
Corporate Bond 425,000 units
 
423,282

 
 
Federal Home Loan Mortgage Corporation Series 4639 Class HZ Step Up Due 04/15/2053
 
Government Bond 447,533 units
 
422,418

 
 
Government National Mortgage Association REMIC Senior 2017/134 Class PT 2.5% Due 09/20/2047
 
Government Bond 433,504 units
 
417,478

 
 
Fannie Mae Series 2013-M7 Class A2 2.28% Due 12/25/2022
 
Government Bond 422,467 units
 
416,090

 
 
Soundview Home Loan Tranche 2006-2 Mortgage CTF Class M-1 Variable Rate 03/25/2036
 
Corporate Bond 413,041 units
 
412,171

 
 
Fannie Mae Pool #467757 4.33% Due 04/01/2021
 
Government Bond 394,476 units
 
406,302

 
 
Navient Student Loan Trust Series 2015/3 Class B Floating Rate Due 10/25/2058
 
Corporate Bond 400,000 units
 
400,766

 
 
Fannie Mae Pool #MA1462 3.5% Due 06/01/2043
 
Government Bond 397,906 units
 
400,755

 
 
Washington Mutual Mortgage Pass-Through Series 2005/AR13 Class A1A1 Floating Rate Due 10/25/2045
 
Corporate Bond 405,028 units
 
400,590

 
 
Fannie Mae Pool #AM5473 3.76% Due 03/01/2024
 
Government Bond 385,000 units
 
400,231

 
 
Petroleos Mexicanos Fixed 6.5% Due 01/23/2029
 
Corporate Bond 425,000 units
 
396,313

 
 
BBCCRE Trust Series 2015/GTP Class A 3.966% Due 08/10/2033
 
Corporate Bond 385,000 units
 
393,385

 
 
Ginnie Mae Pool #MA4510 3.5% Due 06/20/2047
 
Government Bond 386,722 units
 
389,291

 
 
Bank of America Corporation Floating Rate 4.271% Due 07/23/2029*
 
Corporate Bond 390,000 units
 
388,170

 
 
Ginnie Mae 5% Due 03/16/2034
 
Government Bond 362,387 units
 
388,140

 
 
Farmers Exchange Floating Rate 5.454% Due 10/15/2054
 
Corporate Bond 400,000 units
 
387,080

 
 
United States Treasury Security 4.5% Due 08/15/2039
 
Government Bond 310,000 units
 
386,313

 
 
American Express Credit A/C Master Series 2017-1 Class A 1.93% 09/15/2022
 
Corporate Bond 390,000 units
 
385,387

 
 
Federal National Mortgage Association REMIC Series 2008/60 Class/Jc 5 Due 07/25/2038
 
Government Bond 355,950 units
 
382,789

 
 
Santander UK PLC 2.5% Due 03/14/2019
 
Corporate Bond 382,000 units
 
381,575

 
 
Morgan Stanley 7.3% Due 05/13/2019
 
Corporate Bond 375,000 units
 
380,692

 
 
United States Treasury Note 4.375% Due 11/15/2039
 
Government Bond 310,000 units
 
380,065

 
 
SLC Student Loan Trust Floating Rate .672% Due 12/15/2038
 
Corporate Bond 400,000 units
 
379,253

 
 
Fannie Mae Variable Rate Due 07/25/2024
 
Government Bond 373,000 units
 
375,485

 
 
Federal Home Loan Mortgage Corporation Pool #G07957 4% Due 01/01/2045
 
Government Bond 365,083 units
 
375,239

 
 
Credit Suisse Mortgage Trust Series 2014/USA Class A2 3.953% Due 09/15/2037
 
Corporate Bond 370,000 units
 
374,138

 
 
Progress Residential Series 2015-SFR2 Class A 2.74% Due 06/12/2032
 
Corporate Bond 377,452 units
 
372,666

 
 
Commercial Mortgage Trust Series 2015/Cr24 Class A5 3.696% Due 08/10/2055
 
Corporate Bond 366,146 units
 
370,267

 

17



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Ginnie Mae 2011/71 Class ZC 5.5% Due 7/16/2034
 
Government Bond 338,583 units
 
369,872

 
 
Federal National Mortgage Association Pool#CA1711 Class 4.5% Due 05/01/2048
 
Government Bond 356,450 units
 
369,365

 
 
Impac Secured Assets Corporation 2004/3 Pass-Through Class M/1 Floating Rate Due 11/25/2034
 
Corporate Bond 369,514 units
 
369,356

 
 
Federal Home Loan Mortgage Company Multiclass Series 6 04/15/2036
 
Government Bond 329,972 units
 
368,370

 
 
Comcast Corporation 4.7% 10/15/2048
 
Corporate Bond 360,000 units
 
363,917

 
 
Fannie Mae Pool #AS9830 4% Due 06/01/2047
 
Government Bond 355,080 units
 
362,075

 
 
Wells Fargo Bank N A Floating Rate 3.325% Due 07/23/2021*
 
Corporate Bond 360,000 units
 
359,649

 
 
US Bank NA Cincinnati Bond 3.4% 07/24/2023
 
Corporate Bond 360,000 units
 
359,261

 
 
Fannie Mae Pool #MA3027 4% Due 06/01/2047
 
Government Bond 351,197 units
 
358,134

 
 
Kabbage Asset Securitization LLLC Class A 4.571% Due 03/15/2022
 
Corporate Bond 355,000 units
 
357,370

 
 
Fannie Mae Series 2017-M11 Class FA Floating Rate Due 09/25/2024
 
Government Bond 356,305 units
 
356,322

 
 
CIFC Funding Limited Series 14/4RA Class A1A Floating Rate Due 10/17/2030
 
Corporate Bond 355,000 units
 
353,827

 
 
Navient Student Loan Trust Series 17-3A Class A3 Floating Rate Due 07/26/2066
 
Corporate Bond 350,000 units
 
353,543

 
 
JP Morgan Chase & Floating Rate 4.023% Due 12/05/2024*
 
Corporate Bond 350,000 units
 
352,785

 
 
United States Of American Treasury Notes Inflation Index 0.125% Notes 07/15/2024
 
Government Bond 345,000 units
 
352,304

 
 
Federal National Mortgage Association Pool #AN7345 3.21% 11/01/2037
 
Government Bond 372,911 units
 
351,802

 
 
United Auto Credit Securitization Trust Series 18/2 Class B 3.56% 08/10/2022
 
Corporate Bond 350,000 units
 
350,526

 
 
Dryden Senior Loan Fund Floating Rate Series 18/71A Class A 01/15/2029
 
Corporate Bond 350,000 units
 
350,000

 
 
Federal National Mortgage Association Pool #MA3243 3.5% 01/01/2038
 
Government Bond 345,417 units
 
349,928

 
 
Wells Fargo Commercial 3.664% Due 09/15/2048*
 
Corporate Bond 346,000 units
 
348,475

 
 
Sallie Mae Student Loan Trust 2008 9 Student Loan Backed Notes Class A Floating 04/25/2023
 
Government Bond 346,554 units
 
348,363

 
 
Goldman Sachs Group Inc. 2.55% Due 10/23/2019
 
Corporate Bond 350,000 units
 
347,789

 
 
Dryden Series 13/26A Class AR Floating 04/15/2029
 
Corporate Bond 350,000 units
 
346,050

 
 
Citibank N A 3.4% 07/23/2021
 
Corporate Bond 345,000 units
 
345,439

 
 
Sallie Mae Student Loan Trust Floating Rate 3.10063% Due 01/25/2022
 
Corporate Bond 351,467 units
 
345,107

 
 
Carmax Auto Owner 3.13% Due 06/15/2023
 
Corporate Bond 343,000 units
 
344,311

 
 
Protective Life Global Funding 1.722% Due 04/15/2019
 
Corporate Bond 345,000 units
 
343,618

 
 
Nationstar Home Floating Rate .7158% Due 09/25/2036
 
Corporate Bond 344,922 units
 
343,220

 
 
Federal National Mortgage Association Pool #AE0681 4.5% 12/01/2040
 
Government Bond 325,841 units
 
341,301

 
 
Fannie Mae Pool #AM5079 3.45% Due 01/01/2024
 
Government Bond 332,972 units
 
341,022

 
 
Berkshire Hathaway Inc. 4.4% Due 05/15/2042
 
Corporate Bond 334,000 units
 
340,664

 

18



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Federal Home Loan Mortgage Corporation MulticlassTranche 00839 2.615% Due 01/25/2023
 
Government Bond 345,000 units
 
340,064

 
 
Fannie Mae Pool #AR6380 3.00% Due 02/01/2043
 
Government Bond 344,391 units
 
338,589

 
 
Fannie Mae Pool #AQ1534 3.5% Due 10/01/2032
 
Government Bond 332,766 units
 
337,902

 
 
Federal Home Loan Mortgage Corporation Pool #G08711 3.5% Due 06/01/2046
 
Government Bond 336,919 units
 
336,950

 
 
FREMF 2015-K48 Mortgage Trust Floating Rate Due 06/25/2025
 
Corporate Bond 345,000 units
 
336,636

 
 
Fannie Mae Pool #468564 4.06% Due 07/01/2021
 
Government Bond 327,562 units
 
336,513

 
 
Regional Management Issuance Series 18/1 Class A 3.83% 07/15/2027
 
Corporate Bond 335,000 units
 
336,276

 
 
General Electric Capital Corporation Medium Term Notes 2.2% Due 01/09/2020
 
Corporate Bond 340,000 units
 
335,049

 
 
UnitedHealth Group 3.85% Due 06/15/2028
 
Corporate Bond 330,000 units
 
333,596

 
 
United States Treasury SEC Stripped Interest Payment Due 05/15/2031
 
Government Bond 470,000 units
 
329,659

 
 
Government National Mortgage Association 3.5% Due 03/20/2046
 
Government Bond 326,882 units
 
329,497

 
 
Fannie Mae Pool #AB7575 3.00% Due 01/01/2043
 
Government Bond 333,090 units
 
327,405

 
 
Fannie Mae Pool #AM4764 3.44% Due 11/01/2023
 
Government Bond 318,868 units
 
327,055

 
 
Magnetite CLO Limited Class A1R Flat Rate Due 07/25/2026
 
Corporate Bond 327,112 units
 
326,096

 
 
CVS Health Corporation 5.05% Due 03/25/2048
 
Corporate Bond 333,000 units
 
323,879

 
 
Boston Properties Limited Partnership 3.8% Due 02/01/2024
 
Corporate Bond 325,000 units
 
323,807

 
 
Federal Home Loan Mortgage Series K155 Class A3 3.75% 04/25/2033
 
Government Bond 320,000 units
 
322,231

 
 
PNC Bank N A Pittsburgh Pennsylvania 2% Due 05/19/2020
 
Corporate Bond 325,000 units
 
319,943

 
 
Fannie Mae Pool #AS9972 4% Due 07/01/2047
 
Government Bond 313,277 units
 
319,432

 
 
United States Treasury Inflation Notes 0.375% Dated 07/15/2015 07/15/2025
 
Government Bond 310,000 units
 
318,653

 
 
Berkshire Hathaway Finance Corporation 4.2% Due 08/15/2048
 
Corporate Bond 320,000 units
 
317,292

 
 
Washington Mutual Mortgage Pass-Through Series 2005/AR11 Class A1A Floating Rate Due 08/25/2045
 
Corporate Bond 319,017 units
 
316,626

 
 
Duke Energy 3.75% Due 06/01/2045
 
Corporate Bond 343,000 units
 
316,101

 
 
Federal Home Loan Mortgage Corporation Pool #G06933 5%07/01/2041
 
Government Bond 295,703 units
 
316,073

 
 
Fannie Mae Pool #AR7961 3.5% Due 03/01/2033
 
Government Bond 310,864 units
 
315,677

 
 
Federal Home Loan Mortgage Company Multiclass Series 2506 Class KZ 5.5 09/15/2032
 
Government Bond 290,053 units
 
313,899

 
 
Duquesne Light Holdings, Inc. 6.4% Due 09/15/2020
 
Corporate Bond 300,000 units
 
312,865

 
 
Verizon Owner Trust Series 18/1A Class A/1A 2.82% 09/20/2022
 
Corporate Bond 312,000 units
 
311,102

 
 
Fannie Mae Pool #AM4407 3.65% Due 09/01/2023
 
Government Bond 298,457 units
 
309,597

 
 
Federal National Mortgage Association Guaranteed Mortgage Pool #Al3438 6.5% 10/01/2038
 
Government Bond 279,502 units
 
309,393

 

19



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Walmart Inc. 3.55% Due 06/26/2025
 
Corporate Bond 305,000 units
 
308,364

 
 
General Mills Inc. 3.7% 10/17/2023
 
Corporate Bond 310,000 units
 
308,191

 
 
TC Pipelines LP 3.9% Due 05/25/2027
 
Corporate Bond 319,000 units
 
304,516

 
 
Lloyds Bank PLC 3.3% Due 05/07/2021
 
Corporate Bond 305,000 units
 
304,075

 
 
Federal National Mortgage Association Pool #Al2965 2.667% Due 12/01/2022
 
Government Bond 306,324 units
 
303,723

 
 
Santander UK PLC 3.4% Due 06/01/2021
 
Corporate Bond 305,000 units
 
303,512

 
 
Government National Mortgage Association II Pool #MA3597 Series 2046 3.5% Due 04/20/2046
 
Government Bond 299,344 units
 
301,692

 
 
Halfmoon Parent Inc. 4.375% 10/15/2028
 
Corporate Bond 300,000 units
 
301,674

 
 
Commercial Mortgage Trust Series 2015/CRE25 Class A/4 3.759% Due 08/10/2048
 
Corporate Bond 297,000 units
 
301,087

 
 
Welltower Inc. 4.125% Due 04/01/2019
 
Corporate Bond 300,000 units
 
300,084

 
 
Bank of America Corporation 3.499% 05/17/2022*
 
Corporate Bond 300,000 units
 
300,045

 
 
Federal Home Loan Mortgage Corporation Pool #Al2293 4.374% Due 06/01/2021
 
Government Bond 290,112 units
 
299,772

 
 
Flagship Clothing Series 14/8A Class ARR Floating 01/16/2026
 
Corporate Bond 300,000 units
 
299,144

 
 
United Technologies Corporation 4.125% 11/16/2028
 
Corporate Bond 300,000 units
 
297,210

 
 
Hyundai Auto 1.76% Due 08/16/2021
 
Corporate Bond 300,000 units
 
297,038

 
 
Ginnie Mae II Jumbos 4% Due 30 Years Settles January
 
Government Bond 290,000 units
 
296,933

 
 
Ford Motor Car Company LLC 2.597% Due 11/04/2019
 
Corporate Bond 300,000 units
 
296,689

 
 
Broadcom Corporation / 2.375% Due 01/15/2020
 
Corporate Bond 300,000 units
 
296,253

 
 
Fannie Mae Pool #MA1373 3.50% Due 03/01/2043
 
Government Bond 294,056 units
 
295,795

 
 
Elanco Animal Health Inc. 4.272% 08/28/2023
 
Corporate Bond 295,000 units
 
294,750

 
 
Federal Home Loan Mortgage Company Multiclass Tranche 571 3.93% Due 06/25/2028
 
Government Bond 283,000 units
 
294,441

 
 
The Goldman Sachs Group Inc. 5.25% Due 07/27/2021
 
Corporate Bond 283,000 units
 
293,780

 
 
Halfmoon Parent Inc. 4.9% 12/15/2048
 
Corporate Bond 300,000 units
 
293,519

 
 
VNDO Mortgage Trust 2012/6 2.9950% Due 11/15/2030
 
Corporate Bond 295,237 units
 
292,668

 
 
Bank of America Corporation 2.738% 01/23/2022*
 
Corporate Bond 295,000 units
 
290,523

 
 
Federal Home Loan Mortgage Corporation Pool #SO7307 3% Due 8/15/2044
 
Government Bond 300,568 units
 
290,101

 
 
Ginnie Mae Class 2007/035 6% Due 06/20/2037
 
Government Bond 265,508 units
 
289,063

 
 
Bank of America Corporation 3.705% Due 04/24/2028*
 
Corporate Bond 300,000 units
 
287,780

 
 
Ginnie Mae 5.5% Due 06/20/2035
 
Government Bond 264,389 units
 
287,713

 
 
Appalachian Power Company 3.3% Due 06/01/2027
 
Corporate Bond 300,000 units
 
286,607

 
 
Ginnie Mae Pool #783867 Series 2036 6.0% Due 8/15/2036
 
Government Bond 262,558 units
 
285,593

 
 
Bank of America Corporation 4% Due 01/22/2025*
 
Corporate Bond 292,000 units
 
284,451

 
 
IHS Markit Limited 4.75% Due 08/01/2028
 
Corporate Bond 290,000 units
 
283,965

 
 
Drive Auto Receivables Trust Class B 2.3% Due 05/17/2021
 
Corporate Bond 283,233 units
 
282,917

 

20



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Ford Motor Car Company Discl Paper 4/2 Yrs 3&4 04/04/2019
 
Corporate Bond 285,000 units
 
282,512

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3677 4.5% Due 05/15/2040
 
Government Bond 263,590 units
 
281,865

 
 
Ginnie Mae Pool #MA4838 4% Due 11/20/2047
 
Government Bond 272,406 units
 
279,109

 
 
Federal National Mortgage Association Pool #CA2208 4.5% 08/01/2048
 
Government Bond 268,897 units
 
278,561

 
 
Walgreens Boots 2.7% Due 11/18/2019
 
Corporate Bond 280,000 units
 
278,402

 
 
Bank of America Corporation 3.004% 12/20/2023*
 
Corporate Bond 285,000 units
 
277,022

 
 
Fannie Mae Pool #AM6429 3.58% Due 08/01/2029
 
Government Bond 270,534 units
 
276,682

 
 
Ginnie Mae Pool #MA4069 3.5% Due 11/20/2046
 
Government Bond 274,307 units
 
276,129

 
 
Jersey City New Jersey Municipal Utilities Authority Water Rev 5.47% 05/15/2027
 
Government Bond 250,000 units
 
275,955

 
 
Air Lease Corporation 3.5% Due 01/15/2022
 
Corporate Bond 280,000 units
 
275,546

 
 
Federal Home Loan Mortgage Corporation Gold Pool U9/0291 4% Due 10/01/2042
 
Government Bond 267,804 units
 
274,802

 
 
Fannie Mae REMIC Series 2003/W2 5.9% Due 07/25/2042
 
Government Bond 250,518 units
 
273,743

 
 
Jersey Central Power & Light Company 4.7% Due 04/01/2024
 
Corporate Bond 261,000 units
 
271,735

 
 
General Electric Capital International Funding Company 2.342% Due 11/15/2020
 
Corporate Bond 280,000 units
 
270,215

 
 
Federal Home Loan Mortgage Corporation Gold Pool U89009 3.5% Due 09/01/2032
 
Government Bond 265,953 units
 
269,717

 
 
General Motors Financial Company, Inc. 2.4% Due 05/09/2019
 
Corporate Bond 270,000 units
 
268,985

 
 
AT&T Inc. 4.8% Due 06/15/2044
 
Corporate Bond 300,000 units
 
268,894

 
 
Ventas Realty Limited 3.5% Due 02/01/2025
 
Corporate Bond 280,000 units
 
268,034

 
 
United States Treasury Notes Dated 683 1.625% Due 02/15/2026
 
Government Bond 285,000 units
 
266,787

 
 
Federal Home Loan Mortgage Corporation Pool #G08737 3% Due 12/01/2046
 
Government Bond 272,891 units
 
266,293

 
 
JP Morgan Chase & Floating Rate 3.514% Due 06/18/2022*
 
Corporate Bond 265,000 units
 
265,600

 
 
Bank of America Corporation 3.593% Due 07/21/2028*
 
Corporate Bond 280,000 units
 
265,529

 
 
Federal Home Loan Mortgage Company Gold Pool #Fg G67711 4.0% 03/01/2048
 
Government Bond 258,293 units
 
265,003

 
 
Bayer US Finance II 4.375% Due 12/15/2028
 
Corporate Bond 275,000 units
 
262,557

 
 
Fannie Mae Pool #AQ1607 3.5% Due 11/01/2032
 
Government Bond 258,445 units
 
262,443

 
 
Federal Home Loan Mortgage Corporation Pool #G07239 3.00% Due 12/01/2042
 
Government Bond 265,479 units
 
261,092

 
 
AT&T Inc. 5.25% Due 03/01/2037
 
Corporate Bond 265,000 units
 
260,290

 
 
Fannie Mae REMIC Series 2014/M1 Class A Floating Rate Due 07/25/2023
 
Government Bond 256,539 units
 
260,275

 
 
Federal National Mortgage Association Pool #AN5977 3.49% Due 02/01/2033
 
Government Bond 265,000 units
 
259,691

 
 
Americredit 4.01% Due 07/18/2024
 
Corporate Bond 256,000 units
 
259,428

 
 
Structured Asset Mortgage Investments II Inc. Series 2004/AR1 Class A1 Floating Rate Due 3/19/2034
 
Corporate Bond 263,039 units
 
258,505

 
 
Fannie Mae Pool #MA1866 4.50% Due 04/01/2044
 
Government Bond 245,977 units
 
257,033

 

21



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Federal Home Loan Mortgage Company Multiclass Series 2708 Class ZD 5.5 11/15/2033
 
Government Bond 231,924 units
 
255,580

 
 
Capital Auto Receivables Asset Trust Series/18/1 Class/A3 2.79% 01/20/2022
 
Corporate Bond 255,000 units
 
254,347

 
 
J.P. Morgan Mortgage Trust 2005/A2 Pass/through Class 1/A/1 Due 04/25/2035*
 
Corporate Bond 251,123 units
 
254,135

 
 
Fannie Mae Pool #MA2010 4.00% Due 08/01/2044
 
Government Bond 247,743 units
 
254,122

 
 
United States Treasury Bond 4.24% Due 05/15/2039
 
Government Bond 210,000 units
 
253,337

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 2334 Class KB 6.5% Due 05/15/2028
 
Government Bond 233,474 units
 
253,080

 
 
Fannie Mae Pool #AM6430 3.58% Due 08/01/2029
 
Government Bond 247,212 units
 
252,830

 
 
Americredit 3.38% Due 07/18/2023
 
Corporate Bond 250,000 units
 
252,137

 
 
Providence Health & Services 2.746% Due 10/01/2026
 
Corporate Bond 270,000 units
 
251,273

 
 
Fannie Mae Pool #AM9491 3.55% Due 08/01/2030
 
Government Bond 247,150 units
 
250,172

 
 
Fannie Mae Pool #AM8203 2.74% Due 03/01/2025
 
Government Bond 251,713 units
 
248,905

 
 
Stadshypotek AB 1.875% Due 10/02/2019
 
Corporate Bond 250,000 units
 
248,053

 
 
Fannie Mae Pool #AN5742 3.19% Due 05/01/2030
 
Government Bond 254,476 units
 
247,742

 
 
Fannie Mae Pool #AM6501 3.32% Due 08/01/2026
 
Government Bond 245,000 units
 
246,863

 
 
Fannie Mae Pool #AL9472 4% Due 10/01/2043
 
Government Bond 239,824 units
 
246,595

 
 
Shire Acquisitions 1.9% Due 09/23/2019
 
Corporate Bond 250,000 units
 
246,497

 
 
Fannie Mae Pool #MA0214 5% Due 10/01/2029
 
Government Bond 234,044 units
 
245,168

 
 
GLP Capital LP / GLP Financing II Inc. 5.3% 01/15/2029
 
Corporate Bond 250,000 units
 
244,508

 
 
Fannie Mae Pool #AM6428 3.58% Due 08/01/2029
 
Government Bond 237,884 units
 
243,289

 
 
Fannie Mae Pool #465973 3.59% Due 10/01/2020
 
Government Bond 239,238 units
 
242,111

 
 
Sprint Spectrum Company LLC / Sprint 4.738% 03/20/2025
 
Corporate Bond 245,000 units
 
240,406

 
 
J.P. Morgan Chase & Company NT Fixed/Floating Rate Due 05/01/2028*
 
Corporate Bond 250,000 units
 
238,347

 
 
Oracle Corporation 2.4% Due 09/15/2023
 
Corporate Bond 248,000 units
 
237,989

 
 
Federal Home Loan Mortgage Corporation Pool #S06297 3.5% Due 09/15/2042
 
Government Bond 234,931 units
 
237,178

 
 
United States Treasury Bonds 00245 2.875% Due 08/15/2045
 
Government Bond 240,000 units
 
233,756

 
 
Siemens 2% Due 09/15/2023
 
Corporate Bond 250,000 units
 
233,183

 
 
Air Lease Corporation 4.75% Due 03/01/2020
 
Corporate Bond 230,000 units
 
233,169

 
 
Comm 2018/Home Mortgage Variable Rate 3.81507% Due 04/10/2033
 
Corporate Bond 230,000 units
 
232,523

 
 
Bamlll Mortgage Securities Trust 2018/Park Mortgage Certificate Class A Floating Rate 08/10/2038
 
Corporate Bond 220,000 units
 
228,526

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 323 Class 300 Due 01/15/2044
 
Government Bond 228,288 units
 
226,417

 
 
Bayer US Finance LLC Bonds 3.375% 10/08/2024
 
Corporate Bond 240,000 units
 
226,318

 

22



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
New York NY City Transitional Finance Authority Rev 3.73% 08/01/2029
 
Government Bond 225,000 units
 
226,202

 
 
Verizon Communications Inc. 4.4% Due 11/01/2034
 
Corporate Bond 231,000 units
 
222,636

 
 
Federal Home Loan Mortgage Corporation Pool #G08716 3.5% Due 08/01/2046
 
Government Bond 222,550 units
 
222,548

 
 
Fannie Mae Pool #MA1510 4.00% Due 07/01/2043
 
Government Bond 216,963 units
 
222,519

 
 
Verizon Owner Trust 2018/A Senior 18/A Class A1A 3.23% 04/20/2023
 
Corporate Bond 220,000 units
 
221,349

 
 
Ginnie Mae 5.25% Due 03/20/2038
 
Government Bond 202,079 units
 
220,988

 
 
Black Hills Corporation 4.35% Due 05/01/2033
 
Corporate Bond 220,000 units
 
220,487

 
 
Macquarie Bank Limited 2.6% Due 06/24/2019
 
Corporate Bond 220,000 units
 
219,342

 
 
Fannie Mae REMIC Series 416 Class A300 3% Due 11/25/2042
 
Government Bond 218,458 units
 
216,527

 
 
Fannie Mae Pool #MA1900 4.50% Due 04/01/2044
 
Government Bond 206,471 units
 
215,834

 
 
Mondelez International Holdings Netherlands BV Note 2% Due 10/28/2021/10/28/2016
 
Corporate Bond 225,000 units
 
215,580

 
 
National Credit Union Association Guaranteed Trust 2010/R3 Due 12/06/2020
 
Government Bond 212,758 units
 
213,338

 
 
UBS/Bank of America Merrill Lynch Trust Series 2012/WRM 3.663% Due 06/10/2030*
 
Corporate Bond 211,000 units
 
212,324

 
 
Public Service Electric and Gas Company 4.05% Due 05/01/2045
 
Corporate Bond 220,000 units
 
212,241

 
 
Fannie Mae Series 2017-T1 Class A 2.898% Due 06/25/2027
 
Government Bond 221,722 units
 
211,576

 
 
Conoco Inc. 6.95% Due 04/15/2029
 
Corporate Bond 170,000 units
 
210,206

 
 
Goldman Sachs Group Inc. 3.814% Due 04/23/2029
 
Corporate Bond 225,000 units
 
210,066

 
 
Federal Home Loan Mortgage Corporation Pool #G08792 3.5% Due 12/01/2047
 
Government Bond 209,629 units
 
209,591

 
 
Federal Home Loan Mortgage Corporation Pool #G05903 5.5% 03/01/2040
 
Government Bond 194,654 units
 
209,080

 
 
Colony American Finance 2016/2 2.554% Due 11/15/2048
 
Corporate Bond 214,504 units
 
209,070

 
 
Fannie Mae Pool #AN1161 3.05% Due 04/01/2028
 
Government Bond 215,000 units
 
209,050

 
 
Fannie Mae Pool #MA1900 4.50% Due 05/01/2039
 
Government Bond 199,020 units
 
207,905

 
 
Ginnie Mae 6% Due 11/16/2032
 
Government Bond 189,483 units
 
207,834

 
 
Plains All American Pipeline 4.65% Due 10/15/2025
 
Corporate Bond 210,000 units
 
206,523

 
 
Federal Home Loan Mortgage Corporation Pool #G08833 5%07/01/2048
 
Government Bond 196,733 units
 
206,064

 
 
New York State Dormitory Authority 5.289% Due 03/15/2033
 
Government Bond 180,000 units
 
205,718

 
 
Federal Home Loan Mortgage Corporation Multiclass Tranche 2.72% Due 07/25/2026
 
Government Bond 210,000 units
 
205,442

 
 
General Electric Capital Corporation 5.55% Due 01/05/2026
 
Corporate Bond 210,000 units
 
205,403

 
 
HSBC Bank PLC 4.75% Due 01/19/2021
 
Corporate Bond 200,000 units
 
205,155

 
 
Shell International Finance BV 4.375% Due 05/11/2045
 
Corporate Bond 200,000 units
 
205,079

 
 
Ginnie Mae 2015/H32 REMIC Pass-Through Class FH Due 12/20/2065
 
Government Bond 202,342 units
 
204,493

 

23



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Bear Stearns ARM Floating Rate 2.995557% Due 11/25/2034
 
Corporate Bond 205,128 units
 
203,959

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3662 5% Due 04/15/2040
 
Government Bond 188,802 units
 
203,687

 
 
Verizon Communications Inc. 5.25% Due 03/16/2037
 
Corporate Bond 195,000 units
 
203,125

 
 
Progress Residential Trust Series 2018/Sfr3 Class A 3.88% Due 10/17/2035
 
Corporate Bond 200,000 units
 
202,634

 
 
Alexandria Real 4% Due 01/15/2024
 
Corporate Bond 200,000 units
 
202,300

 
 
Ford Motor Car Company LLC Fixed 2.343% Due 11/02/2020
 
Corporate Bond 210,000 units
 
202,037

 
 
Ford Motor Car Company LLC Note Floating 10/12/2021
 
Corporate Bond 210,000 units
 
201,529

 
 
EQT Midstream Partners LP 5.5% 07/15/2028
 
Corporate Bond 205,000 units
 
200,777

 
 
American Credit Acceptance 2.8599998951% Due 06/12/2023
 
Corporate Bond 201,000 units
 
200,442

 
 
MidAmerican Energy 4.8% Due 09/15/2043
 
Corporate Bond 183,000 units
 
200,330

 
 
General Motors Financial Consumer 2.81% Due 12/16/2022
 
Corporate Bond 201,000 units
 
200,216

 
 
Ginnie Mae II Pool #MA4722 Series 2047 5% Due 09/20/2047
 
Government Bond 192,050 units
 
200,052

 
 
Federal Home Loan Mortgage Corporation Pool #C91981 3%02/01/2038
 
Government Bond 203,262 units
 
200,020

 
 
UBS/Barclays Commercial Mortgage Trust 2012/C2 3.52500009537% Due 05/10/2063
 
Corporate Bond 197,600 units
 
199,770

 
 
Charter 4.5% Due 02/01/2024
 
Corporate Bond 200,000 units
 
199,696

 
 
Diamond 1 Finance Corporation 3.48% Due 06/01/2019
 
Corporate Bond 200,000 units
 
199,409

 
 
Government National Mortgage Association II Pool #MA4718 3% Due 09/20/2047
 
Government Bond 202,125 units
 
199,122

 
 
Government National Mortgage Association 2017/115 REMIC Pass-Through Securities Class PI 4.5% 02/20/2047
 
Government Bond 1,012,808 units
 
198,979

 
 
Bayer US Finance LLC 2.375% Due 10/08/2019
 
Corporate Bond 200,000 units
 
198,401

 
 
Morgan Stanley 3.737% Due 04/24/2024
 
Corporate Bond 200,000 units
 
198,297

 
 
GLS Auto 3.35% Due 08/15/2022
 
Corporate Bond 198,071 units
 
197,835

 
 
Aetna Inc. 2.8% Due 06/15/2023
 
Corporate Bond 208,000 units
 
197,810

 
 
P/O Federal Home Loan Mortgage Company Multiclass Federal Home Loan Mortgage Corporation 02/15/2037
 
Government Bond 232,801 units
 
197,732

 
 
Healthcare Realty Trust Inc. 3.75% Due 04/15/2023
 
Corporate Bond 200,000 units
 
196,928

 
 
United States Treasury Notes Dated 05/15/2013 1.75% Due 05/15/2023
 
Government Bond 203,000 units
 
196,704

 
 
Fannie Mae Series 2017-M5 Class A2 3.303% Due 04/25/2029
 
Government Bond 200,000 units
 
196,577

 
 
Federal National Mortgage Association REMIC Trust 2009/71 Class/Jt 6 06/25/2036
 
Government Bond 177,868 units
 
196,455

 
 
Citigroup Inc. 3.142% 01/24/2023
 
Corporate Bond 200,000 units
 
196,450

 
 
Anheuser-Busch 3.5% Due 01/12/2024
 
Corporate Bond 200,000 units
 
195,629

 
 
L3 Technologies 4.4% Due 06/15/2028
 
Corporate Bond 195,000 units
 
194,957

 
 
The Goldman Sachs Group Inc. 5.375% Due 03/15/2020
 
Corporate Bond 190,000 units
 
194,249

 
 
Ford Motor Credit Company LLC 3.336% Due 03/18/2021
 
Corporate Bond 200,000 units
 
194,063

 

24



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Vodafone Group PLC 4.375% 05/30/2028
 
Corporate Bond 200,000 units
 
194,014

 
 
The Goldman Sachs Group Inc. 2.35% Due 11/15/2021
 
Corporate Bond 201,000 units
 
193,806

 
 
Fannie Mae REMIC Series 2004/T1 6% Due 01/25/2044
 
Government Bond 176,412 units
 
193,656

 
 
Comcast Corporation 4.4% Due 08/15/2035
 
Corporate Bond 200,000 units
 
193,479

 
 
Williams Partners LP 3.6% Due 03/15/2022
 
Corporate Bond 197,000 units
 
193,298

 
 
Progress Residential Series 2015-SFR2 Class B 3.138% Due 06/12/2032
 
Corporate Bond 195,000 units
 
193,273

 
 
Healthcare Trust of America Inc. 3.5% Due 08/01/2026
 
Corporate Bond 205,000 units
 
192,682

 
 
Bank of New York Mellon Corporation 2.5% Due 04/15/2021
 
Corporate Bond 195,000 units
 
192,599

 
 
Barclays PLC 3.684% Due 01/10/2023
 
Corporate Bond 200,000 units
 
192,171

 
 
Enel Finance International N V 4.625 09/14/2025
 
Corporate Bond 200,000 units
 
191,896

 
 
Abbvie Inc. 3.6% Due 05/14/2025
 
Corporate Bond 200,000 units
 
191,837

 
 
Bank of America Corporation 3.55% 03/05/2024*
 
Corporate Bond 194,000 units
 
191,654

 
 
Dr Auto 2.75% Due 09/15/2023
 
Corporate Bond 191,000 units
 
190,613

 
 
Citigroup Mortgage Loan Trust Series 2015/6 Class 2A1 Floating Rate Due 12/25/2035
 
Corporate Bond 204,380 units
 
189,273

 
 
Fannie Mae Series 2002/86 6% Due 09/25/2032
 
Government Bond 170,809 units
 
188,818

 
 
Fannie Mae REMIC Trust 2004/W12 6.5% Due 07/25/2044
 
Government Bond 166,871 units
 
188,043

 
 
Ocwen Master Advance Receivables Series/18/T1 Class/At1 3.3012% 08/15/2049
 
Corporate Bond 187,000 units
 
186,897

 
 
Federal National Mortgage Association Pool #MA3384 4% 06/01/2048
 
Government Bond 183,060 units
 
186,646

 
 
Business Jet Securities 2018/2 LLC Secured Note Class A 4.447% Due 06/15/2033
 
Corporate Bond 184,437 units
 
186,466

 
 
AstraZeneca PLC 3.125% Due 06/12/2027
 
Corporate Bond 200,000 units
 
186,040

 
 
Energy Transfer 5.15% Due 03/15/2045
 
Corporate Bond 215,000 units
 
185,997

 
 
The Goldman Sachs Group Inc. 3.85% Due 07/08/2024
 
Corporate Bond 190,000 units
 
185,738

 
 
Aercap Ireland Captial 4.5% Due 05/15/2021
 
Corporate Bond 185,000 units
 
185,534

 
 
Ford Motor Car Company LLC 4.687% 06/09/2025
 
Corporate Bond 200,000 units
 
185,488

 
 
WFRBS Commercial Mortgage Trust Variable Rate Due 03/15/2045
 
Corporate Bond 190,000 units
 
185,004

 
 
Virginia Electric & Power Company 3.8% Due 04/01/2028
 
Corporate Bond 184,000 units
 
184,775

 
 
Continental Airlines, Inc. Pass-Through Series 2000/1 Class A/1 8.048% Due 5/1/2022
 
Corporate Bond 178,694 units
 
184,645

 
 
Amcor Financial USA Inc. 4.5% Due 05/15/2028
 
Corporate Bond 185,000 units
 
183,862

 
 
Drive Auto 3.36% Due 10/17/2022
 
Corporate Bond 184,000 units
 
183,636

 
 
CRH Finance America Inc. 3.4% Due 05/09/2027
 
Corporate Bond 200,000 units
 
183,606

 
 
Federal Home Loan Mortgage Corporation Pool #G18592 3% Due 03/01/2031
 
Government Bond 183,223 units
 
182,609

 
 
Cityline Mortgage Trust Series 2016/Clne Class A Variable 11/10/2031
 
Corporate Bond 185,000 units
 
181,245

 
 
General Motors Financial Automobile Leasing Trust 2018/2 Class A3 3.1% 06/21/2021
 
Corporate Bond 180,000 units
 
179,730

 
 
Hero Funding LLC 2017-2 Fixed 3.28% Due 09/20/2048
 
Corporate Bond 179,505 units
 
179,580

 
 
Campbell Soup Company 3.3% Due 03/15/2021
 
Corporate Bond 180,000 units
 
179,064

 

25



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
PNM Resources Inc. 3.25% 03/09/2021
 
Corporate Bond 180,000 units
 
178,552

 
 
Continental Airlines, Inc. Pass-Through 5.983% Due 04/19/2023
 
Corporate Bond 170,968 units
 
178,525

 
 
Kraft Heinz Foods Company 3% Due 06/01/2026
 
Corporate Bond 200,000 units
 
178,417

 
 
Zimmer Biomet Holdings Inc. Note Floating Due 03/19/2021/03/20/2019
 
Corporate Bond 180,000 units
 
178,314

 
 
Anheuser-Busch Companies LLC/Anheuser-Busch 4.9% 02/01/2046
 
Corporate Bond 192,000 units
 
178,058

 
 
Government National Mortgage Association Pool #MA4586 3.5% 07/20/2047
 
Government Bond 176,544 units
 
177,716

 
 
GE Capital International Funding Company 3.373% Due 11/15/2025
 
Corporate Bond 200,000 units
 
177,661

 
 
AT&T Inc. 4.75% Due 05/15/2046
 
Corporate Bond 200,000 units
 
177,579

 
 
Ruby Pipeline LLC Note 6 Due 04/01/2022
 
Corporate Bond 168,182 units
 
174,207

 
 
Flagship Credit Auto 2.96000003815% Due 07/15/2023
 
Corporate Bond 175,000 units
 
173,739

 
 
American Campus 3.75% Due 04/15/2023
 
Corporate Bond 175,000 units
 
173,736

 
 
The Goldman Sachs Group Inc. 3.272% Due 09/29/2025
 
Corporate Bond 185,000 units
 
173,414

 
 
CVS Health Corporation 4.1% Due 03/25/2025
 
Corporate Bond 175,000 units
 
173,254

 
 
Bank of America Corporation 3.3% Due 01/11/2023*
 
Corporate Bond 175,000 units
 
172,350

 
 
The Goldman Sachs Group Inc. 3.85% Due 01/26/2027
 
Corporate Bond 183,000 units
 
172,138

 
 
Santander Drive Auto Receivables Trust Series 17-1 Class D 3.17% 04/17/2023
 
Corporate Bond 171,000 units
 
170,435

 
 
Federal National Mortgage Association Pool #CA0996 3.5% 01/01/2048
 
Government Bond 169,776 units
 
170,129

 
 
Northrop Grumman 2.55% Due 10/15/2022
 
Corporate Bond 175,000 units
 
169,339

 
 
Government National Mortgage Association II Pool #MA4837 Series 2047 3.5% Due 11/20/2047
 
Government Bond 167,197 units
 
168,307

 
 
Charter Communications Operating 3.75% 02/15/2028
 
Corporate Bond 185,000 units
 
167,354

 
 
Reynolds American Inc. 6.875% Due 05/01/2020
 
Corporate Bond 160,000 units
 
166,492

 
 
Government National Mortgage Association Series 2018/124 Classes NW 3.5% 09/20/2048
 
Government Bond 164,336 units
 
166,416

 
 
Crown Castle International Corporation 3.2% Due 09/01/2024
 
Corporate Bond 175,000 units
 
166,023

 
 
HSBC Holdings PLC 4% Due 03/30/2022
 
Corporate Bond 163,000 units
 
165,123

 
 
Long Beach Mortgage Loan Trust 2005/2 Pass/through Due 04/25/2035
 
Corporate Bond 163,948 units
 
164,764

 
 
Fannie Mae Series 2013/96 3.5% Due 09/25/2038
 
Government Bond 161,765 units
 
164,143

 
 
Total Capital International 3.7% Due 01/15/2024
 
Corporate Bond 160,000 units
 
163,177

 
 
Anheuser-Busch Companies LLC/Anheu 3.65% Due 02/01/2026
 
Corporate Bond 170,000 units
 
160,743

 
 
Federal Home Loan Mortgage Company Series 4846 Class PA 4.0% 12/01/2040
 
Government Bond 154,255 units
 
159,525

 
 
Ameren lll Company 4.5% 03/15/2049
 
Corporate Bond 150,000 units
 
158,607

 
 
UBS Commercial Mortgage Trust 2012/C1 Variable Rate Due 05/10/2045
 
Corporate Bond 163,000 units
 
158,541

 
 
Fannie Mae Series 2009/W1 6% Due 12/25/2049
 
Government Bond 142,237 units
 
158,052

 
 
Cox Communications, Inc. 3.85% Due 02/01/2025
 
Corporate Bond 160,000 units
 
157,628

 
 
Morgan Stanley 5.75% Due 01/25/2021
 
Corporate Bond 150,000 units
 
156,398

 

26



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Wells Fargo & Company 4.1% Due 06/03/2026*
 
Corporate Bond 160,000 units
 
156,245

 
 
Exeter Automobile Receivable 17-2A Class C 3.93% Due 04/17/2023
 
Corporate Bond 155,000 units
 
155,816

 
 
Drive Auto Receivables Trust 2018/3 3.0% Series 18/3 Class A3 11/15/2021
 
Corporate Bond 156,000 units
 
155,780

 
 
Strip Principal Zero Coupon 02/15/2020
 
Government Bond 160,000 units
 
155,436

 
 
Enterprise Products Company 3.75% Due 02/15/2025
 
Corporate Bond 157,000 units
 
155,345

 
 
GS Mortgage Securities Corporation 2005/9 Class 2A3 Variable Rate Due 08/25/2035
 
Corporate Bond 155,969 units
 
155,177

 
 
Federal Home Loan Mortgage Corporation Pool #S0/6028 3% 08/15/2042
 
Government Bond 156,195 units
 
154,904

 
 
United States Treasury SEC Stripped Interest Payment Due 05/15/2020
 
Government Bond 160,000 units
 
154,496

 
 
Microsoft Corporation 2.875% Due 02/06/2024
 
Corporate Bond 154,000 units
 
152,548

 
 
J.P. Morgan Chase & Company 4.25% Due 10/15/2020*
 
Corporate Bond 149,000 units
 
151,685

 
 
Mitsubishi UFJ 3.761% Due 07/26/2023
 
Corporate Bond 150,000 units
 
150,692

 
 
Royal Bank Canada 3.7% Due 10/05/2023
 
Corporate Bond 150,000 units
 
150,602

 
 
HCP, Inc. 4.2% Due 03/01/2024
 
Corporate Bond 150,000 units
 
150,372

 
 
Pricoa Global Funding 3.45% Due 09/01/2023
 
Corporate Bond 150,000 units
 
150,127

 
 
BB/UBS Trust 2012 Mortgage Pass-Through CTF Class A 3.4302% 11/05/2036
 
Corporate Bond 150,000 units
 
150,016

 
 
United Technologies Corporation 3.35% 08/16/2021
 
Corporate Bond 150,000 units
 
149,594

 
 
General Motors Financial Automobile Fixed 3.18% Due 06/21/2021
 
Corporate Bond 149,000 units
 
149,213

 
 
Constellation Brands Inc. 2.0% Due 11/07/2019
 
Corporate Bond 150,000 units
 
148,153

 
 
Federal Home Loan Mortgage Corporation Pool #G08791 3%12/01/2047
 
Government Bond 150,670 units
 
146,885

 
 
Fannie Mae REMIC Trust 2001/81 6.5% Due 01/25/2032
 
Government Bond 131,441 units
 
146,483

 
 
Santander Drive Auto 2.1% Due 06/15/2021
 
Corporate Bond 146,215 units
 
145,861

 
 
Federal National Mortgage Association Pool #BL1040 3.81% Due 12/01/2028
 
Government Bond 140,000 units
 
144,636

 
 
Morgan Stanley ABS Capital I Inc. 2006/NC1 Pass-Through Class A/4 Due 12/25/2035
 
Corporate Bond 144,255 units
 
144,311

 
 
Westrock Company 4.9% 4.9% Due 03/15/2029
 
Corporate Bond 140,000 units
 
143,896

 
 
GLP Capital LP / GLP 5.375% Due 04/15/2026
 
Corporate Bond 145,000 units
 
143,406

 
 
Kraft Heinz Foods 4.625% Due 01/30/2029
 
Corporate Bond 145,000 units
 
143,364

 
 
Santander Drive Auto 3.03% Due 02/15/2022
 
Corporate Bond 143,000 units
 
143,080

 
 
General Electric Capital Corporation 5.5% Due 01/08/2020
 
Corporate Bond 140,000 units
 
141,649

 
 
Fannie Mae Pool #MA2896 3.5% Due 02/01/2047
 
Government Bond 140,665 units
 
140,964

 
 
Southern Company Gas Capital Corporation 4.4% 05/30/2047
 
Corporate Bond 150,000 units
 
140,268

 
 
HCP, Inc. 4.25% Due 11/15/2023
 
Corporate Bond 140,000 units
 
140,214

 
 
United States Treasury Notes Dated 832 2.875% Due 05/31/2025
 
Government Bond 137,000 units
 
139,360

 
 
Charter 4.908% Due 07/23/2025
 
Corporate Bond 140,000 units
 
139,210

 
 
Wells Fargo & Company 3% Due 10/23/2026*
 
Corporate Bond 150,000 units
 
138,859

 
 
Celgene Corporation 5% Due 08/15/2045
 
Corporate Bond 150,000 units
 
138,702

 

27



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Drive Auto Receivables Trust Class D 3.84% Due 03/15/2023
 
Corporate Bond 137,000 units
 
137,491

 
 
Niagara Mohawk Power Corporation 3.508% Due 10/01/2024
 
Corporate Bond 136,000 units
 
136,705

 
 
Time Warner Cable 5.5% Due 09/01/2041
 
Corporate Bond 150,000 units
 
136,692

 
 
Ford Motor Car Company LLC Fixed 2.425% Due 06/12/2020
 
Corporate Bond 140,000 units
 
136,321

 
 
Sprint Spectrum Coompany LLC 3.36% Due 09/20/2021
 
Corporate Bond 137,500 units
 
135,781

 
 
Fannie Mae REMIC Trust 2007/93 4.50% Due 09/25/2037
 
Government Bond 129,506 units
 
133,737

 
 
Time Warner Inc. 4.75% Due 03/29/2021
 
Corporate Bond 130,000 units
 
133,278

 
 
United States Treasury Notes 2.875% Due 05/15/2028
 
Government Bond 130,500 units
 
132,503

 
 
Santander Drive Auto Receivables Trust Series 2017-1 Note Class C 2.58% Due 05/16/2022
 
Corporate Bond 133,000 units
 
132,256

 
 
World Omni Automobile Lease Securitization Trust Series 18/B Class A3 3.19% Due 12/15/2021
 
Corporate Bond 131,000 units
 
131,743

 
 
United States Treasury Bills 03/28/2019 United States Treasury Bills
 
Government Bond 132,000 units
 
131,261

 
 
GS Mortgage Securities Corporation 2012/AlohaCommerical 3.551% 4/10/2034
 
Corporate Bond 130,000 units
 
131,026

 
 
Bank Of Montreal 2.35% Due 09/11/2022
 
Corporate Bond 135,000 units
 
130,410

 
 
Aercap Ireland Capital 3.65% Due 07/21/2027
 
Corporate Bond 150,000 units
 
130,380

 
 
General Motors Company 4.875% Due 10/02/2023
 
Corporate Bond 130,000 units
 
130,294

 
 
Union Pacific Corporation 3.95% Due 09/10/2028
 
Corporate Bond 130,000 units
 
129,823

 
 
Verizon Communications Inc. 4.862% Due 08/21/2046
 
Corporate Bond 132,000 units
 
129,726

 
 
Raymond James Financial, Inc. 4.95% Due 07/15/2046
 
Corporate Bond 135,000 units
 
129,702

 
 
Liberty Street Trust 2016-225L 3.597% Due 02/10/2036
 
Corporate Bond 130,000 units
 
129,687

 
 
Reckson Operating Partnership, LP 4.5% Due 12/01/2022
 
Corporate Bond 128,000 units
 
129,538

 
 
Transcanada 3.75% Due 10/16/2023
 
Corporate Bond 130,000 units
 
129,528

 
 
SFAVE Commerical Series 2015/5 Class A/1 3.872% Due 01/05/2043
 
Corporate Bond 140,000 units
 
129,501

 
 
HSBC Holdings PLC 5.1 Due 04/05/2021
 
Corporate Bond 125,000 units
 
129,264

 
 
CMO Commercial 2016/787S Mortgage Trust Pass-Through CTF Class A 02/10/2036
 
Corporate Bond 130,000 units
 
129,185

 
 
Wells Fargo Commercial Mortgage Tranche 2013-120B Pass-through 03/18/2028*
 
Corporate Bond 130,000 units
 
128,957

 
 
Chevron Corporation 2.419% Due 11/17/2020
 
Corporate Bond 130,000 units
 
128,804

 
 
Southern California Edison 4% Due 04/01/2047
 
Corporate Bond 140,000 units
 
128,344

 
 
Home Depot Inc. 3.9% Due 12/06/2028
 
Corporate Bond 125,000 units
 
128,032

 
 
Sallie Mae Student Loan Trust 2008-3 Class B Floating Rate 04/25/2029
 
Corporate Bond 130,000 units
 
126,848

 
 
ONEOK Partners LP 4.9% Due 03/15/2025
 
Corporate Bond 125,000 units
 
126,645

 
 
BP Capital Markets PLC 3.814% Due 02/10/2024
 
Corporate Bond 125,000 units
 
126,163

 
 
VNDO 2013-Penn Mortgage Trust Commercial Mortgage Pass-Through CTF Class A 3.808% 12/13/2029
 
Corporate Bond 125,000 units
 
126,146

 

28



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Honda Auto Receivables 2018/1 Owner Trust Series 18/2 Class A3 3.11% 05/18/2022
 
Corporate Bond 126,000 units
 
126,125

 
 
Federal National Mortgage Association Pool #MA3333 4% 04/01/2048
 
Government Bond 123,251 units
 
126,091

 
 
HCA Inc. 6.5% Due 02/15/2020
 
Corporate Bond 123,000 units
 
126,075

 
 
Comm 2013/300P Mtg 4.353 Due 08/10/2030
 
Corporate Bond 120,000 units
 
126,026

 
 
Westpac Banking Corporation 2.5% Due 06/28/2022
 
Corporate Bond 130,000 units
 
126,002

 
 
Citigroup Inc. 3.7% Due 01/12/2026
 
Corporate Bond 130,000 units
 
124,990

 
 
Apple Inc. 2.15% Due 02/09/2022
 
Corporate Bond 128,000 units
 
124,800

 
 
Ginnie Mae Pool #MA3663 3.5% Due 05/20/2046
 
Government Bond 123,299 units
 
124,229

 
 
American Credit Acceptance 3.69000005722% Due 06/12/2023
 
Corporate Bond 124,000 units
 
123,927

 
 
Kaiser Foundation Hospitals Inc. 4.15% Due 05/01/2047
 
Corporate Bond 125,000 units
 
123,459

 
 
RBS Commercial Funding Inc. 2013/GSP Trust Class A Variable Rate Due 01/13/2032
 
Corporate Bond 120,000 units
 
123,088

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 2980 6% Due 05/15/2035
 
Government Bond 110,426 units
 
122,472

 
 
Bank of Nova Scotia 2.7% Due 03/07/2022
 
Corporate Bond 125,000 units
 
122,272

 
 
Actavis Inc. 3.25% Due 10/01/2022
 
Corporate Bond 125,000 units
 
122,215

 
 
GS Mortgage Securities Corporation Trust 2011/GC5 Due 08/10/2044
 
Corporate Bond 126,000 units
 
121,520

 
 
Madison Ave Trust 2013/650M Class A 3.843% Due 10/15/2032
 
Corporate Bond 120,000 units
 
121,268

 
 
Fannie Mae REMIC Trust 2010/137 4.5% Due 10/25/2040
 
Government Bond 115,546 units
 
121,035

 
 
General Electric Capital Corporation Medium Term Notes BO Tranche # Trust 00849 4.65 Due 10/17/2021
 
Corporate Bond 120,000 units
 
120,360

 
 
Santander Retail Auto Lease Trust SE 2018/A Class A/3 2.93% Due 05/20/2021
 
Corporate Bond 120,000 units
 
119,849

 
 
Drive Auto Receivables Trust Class C 2.84% Due 04/15/2022
 
Corporate Bond 120,000 units
 
119,847

 
 
Dr Auto 4.18% Due 03/15/2024
 
Corporate Bond 119,000 units
 
119,605

 
 
Anheuser-Busch 4% Due 04/13/2028
 
Corporate Bond 125,000 units
 
119,567

 
 
Federal National Mortgage Association REMIC Series/2018/38 Class/Patranche 00695 3.5% 06/25/2047
 
Government Bond 118,260 units
 
119,160

 
 
EOG Resources, Inc. 2.625% Due 03/15/2023
 
Corporate Bond 124,000 units
 
119,127

 
 
American Credit Accep Receivables Senior 18/3 Class A 2.92% 08/12/2021
 
Corporate Bond 118,961 units
 
118,764

 
 
Buckeye Partners LP 3.95% Due 12/01/2026
 
Corporate Bond 135,000 units
 
118,598

 
 
Bank of New York Inc. 3.25% Due 09/11/2024
 
Corporate Bond 120,000 units
 
118,446

 
 
Core Individual Trust Series 2015/Calw Class A 3.04% 02/10/2034
 
Corporate Bond 118,584 units
 
118,198

 
 
Becton Dickinson & 2.404% Due 06/05/2020
 
Corporate Bond 120,000 units
 
118,127

 
 
United States Of America Treasury Bonds 2.5% Due 02/15/2045
 
Government Bond 130,000 units
 
117,813

 
 
Sunoco Logistics Partners 5.4% 10/01/2047
 
Corporate Bond 130,000 units
 
117,807

 
 
Berkshire Hathaway Inc. 2.75% Due 03/15/2023
 
Corporate Bond 120,000 units
 
117,801

 
 
FirstEnergy Transmission LLC 5.45% Due 07/15/2044
 
Corporate Bond 108,000 units
 
117,326

 
 
Fannie Mae Pool #AP0645 3.5% Due 07/01/2032
 
Government Bond 115,254 units
 
117,032

 

29



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
AT&T Inc. Fixed 4.9% Due 08/15/2037
 
Corporate Bond 125,000 units
 
116,549

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 2072 6.5% Due 07/15/2028
 
Government Bond 107,113 units
 
116,523

 
 
Northeast Utilities 3.15% Due 01/15/2025
 
Corporate Bond 120,000 units
 
115,941

 
 
World Omni Auto Lease Securitization Trust Series 18/A Class A3 2.83% 01/15/2021
 
Corporate Bond 116,000 units
 
115,624

 
 
Goldman Sachs Group Inc. 4.223% 05/01/2029
 
Corporate Bond 140,000 units
 
115,487

 
 
Ginnie Mae Pool #MA4382 3.5% Due 04/20/2047
 
Government Bond 114,617 units
 
115,379

 
 
Kraft Heinz Foods Company 4.375% Due 06/01/2046
 
Corporate Bond 140,000 units
 
115,336

 
 
Gilead Sciences 4.15% Due 03/01/2047
 
Corporate Bond 125,000 units
 
115,143

 
 
Sabine Pass 5.75% Due 05/15/2024
 
Corporate Bond 110,000 units
 
114,769

 
 
Verizon 4.125% Due 08/15/2046
 
Corporate Bond 130,000 units
 
114,696

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3415 Class TF Due 08/15/2035
 
Government Bond 112,895 units
 
114,445

 
 
General Motors Company 6.6% Due 04/01/2036
 
Corporate Bond 117,000 units
 
113,900

 
 
Ventas Realty Limited Partnership 3.75% Due 05/01/2024
 
Corporate Bond 115,000 units
 
113,880

 
 
General Electric Capital Corporation 5.875% Due 01/14/2038
 
Corporate Bond 119,000 units
 
113,775

 
 
Valeant Pharmaceuticals International Inc. 5.5% Due 11/01/2025
 
Corporate Bond 122,000 units
 
113,765

 
 
Federal Home Loan Mortgage Corporation Multiclass Tranche 00430 3.151% Due 11/25/2025
 
Government Bond 113,000 units
 
113,196

 
 
Celgene Corporation 3.9% 02/20/2028
 
Corporate Bond 120,000 units
 
112,557

 
 
Capital One Financial Corporation 3.75% Due 04/24/2024
 
Corporate Bond 115,000 units
 
112,160

 
 
Federal Home Loan Mortgage Company Gold Pool G67713 4.0% Due 06/01/2048
 
Government Bond 109,350 units
 
112,030

 
 
Peco Energy Company 2.375% Due 09/15/2022
 
Corporate Bond 115,000 units
 
111,466

 
 
Ontario Province Canada 4% Due 10/07/2019
 
Government Bond 110,000 units
 
110,976

 
 
Apple Inc. 3% Due 02/09/2024
 
Corporate Bond 111,000 units
 
109,620

 
 
Ohio State University General Receipts 4.8% Due 06/01/2111
 
Corporate Bond 100,000 units
 
109,543

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 2901 4.5% Due 12/15/2019
 
Government Bond 109,231 units
 
109,419

 
 
United Continental Holdings Fixed 4.15% Due 04/11/2024
 
Corporate Bond 109,395 units
 
109,110

 
 
Norfolk Southern Corporation 2.903% Due 02/15/2023
 
Corporate Bond 111,000 units
 
109,089

 
 
Hero Funding Service 2017-1A Nt Class A2 4.46% Due 09/20/2047
 
Corporate Bond 104,260 units
 
108,109

 
 
The Mosaic Company 5.45% Due 11/15/2033
 
Corporate Bond 105,000 units
 
107,925

 
 
Ginnie Mae Pool 2012/84 Class LI I/O 4% Due 05/16/2042
 
Government Bond 731,571 units
 
107,494

 
 
FirstEnergy Corporation 7.375% Due 11/15/2031
 
Corporate Bond 85,000 units
 
107,402

 
 
Fannie Mae Pool #MA3058 4% Due 07/01/2047
 
Government Bond 105,230 units
 
107,306

 
 
Cisco Systems, Inc. 3.625% Due 03/04/2024
 
Corporate Bond 105,000 units
 
107,087

 
 
Federal National Mortgage Association Series 2018/M4 Class A2 Variable Rate Due 03/25/2028
 
Government Bond 109,000 units
 
105,984

 
 
Federal Home Loan Mortgage Corporation Series 3852 Floating Rate Due 05/15/2041
 
Government Bond 98,327 units
 
105,932

 

30



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Comcast Corporation 3.0% Due 02/01/2024
 
Corporate Bond 108,000 units
 
105,294

 
 
Federal Home Loan Mortgage Corporation Multiclass Tranche 2.838% Due 09/25/2022
 
Government Bond 105,000 units
 
105,020

 
 
Exeter Automobile Receivables Tranche 2017-1 Class B 3.0% Due 12/15/2021
 
Corporate Bond 105,000 units
 
104,793

 
 
International Lease Finance Corporation 5.875% Due 08/15/2022
 
Corporate Bond 100,000 units
 
104,746

 
 
Daimler Financial North America LLC 2.25% Due 07/31/2019
 
Corporate Bond 105,000 units
 
104,229

 
 
DT Auto Owner Trust 2017-2 Asset Backed Class C 3.03% Due 01/17/2023
 
Corporate Bond 104,000 units
 
103,891

 
 
Nissan Auto Class A-3 2.12% Due 04/18/2022
 
Corporate Bond 105,000 units
 
103,690

 
 
Hydro/Quebec Series 8.4% Due 01/15/2022
 
Government Bond 90,000 units
 
103,626

 
 
Port Authority NY & NJ 5.647% Due 11/01/2040
 
Government Bond 85,000 units
 
103,520

 
 
HCP, Inc. 3.875% Due 08/15/2024
 
Corporate Bond 105,000 units
 
103,337

 
 
DowDuPont Inc. 4.493% Due 11/15/2025
 
Corporate Bond 100,000 units
 
102,958

 
 
Anheuser-Busch Companies LLC / Anheuser-Busch 4.7% 02/01/2036
 
Corporate Bond 111,000 units
 
102,941

 
 
Energy Transfer Partners LP 5.2% Due 2/1/2022
 
Corporate Bond 100,000 units
 
102,696

 
 
Morgan Stanley Capital I Trust 2011/C3 4.054% Due 07/15/2049
 
Corporate Bond 102,418 units
 
102,684

 
 
Federal Home Loan Mortgage Association Pool #G08676 3.5% Due 11/01/2045
 
Government Bond 101,630 units
 
101,975

 
 
Sumitomo Mitsui Financial Group Inc. 3.936% 10/16/2023
 
Corporate Bond 100,000 units
 
101,758

 
 
Nordea Bank AB 4.875% Due 01/27/2020
 
Corporate Bond 100,000 units
 
101,734

 
 
CSX Corporation 4.25% Due 03/15/2029
 
Corporate Bond 100,000 units
 
101,530

 
 
British Telecommunications PLC Step/up Due 12/15/2030
 
Corporate Bond 75,000 units
 
101,436

 
 
Bank of America Corporation 4.1% Due 07/24/2023*
 
Corporate Bond 100,000 units
 
101,357

 
 
Jefferies Group LLC 6.875% Due 04/15/2021
 
Corporate Bond 95,000 units
 
101,093

 
 
General Electric Capital Corporation 6% Due 08/07/2019
 
Corporate Bond 100,000 units
 
101,077

 
 
21st Century Fox 3.7% Due 10/15/2025
 
Corporate Bond 100,000 units
 
100,622

 
 
Federal Home Loan Mortgage Corporation Series 4374 Class NC Step/up Due 02/15/2046
 
Government Bond 99,625 units
 
100,576

 
 
Jackson National Life Global Funding 3.875% Due 06/11/2025
 
Corporate Bond 100,000 units
 
100,533

 
 
Williams Partners 4.5% Due 11/15/2023
 
Corporate Bond 100,000 units
 
100,527

 
 
Ginnie Mae 0% Due 12/20/2040
 
Government Bond 122,740 units
 
100,417

 
 
M & T Bank Corporation 3.55% Due 07/26/2023
 
Corporate Bond 100,000 units
 
100,399

 
 
United Air Lines, Inc. 3.1% Due 07/07/2028
 
Corporate Bond 104,195 units
 
100,336

 
 
Hertz Fleet Lease 3.23% Due 05/10/2032
 
Corporate Bond 100,000 units
 
100,330

 
 
Ocwen Master Advance Receivables Trust Series/18/T2 Class/At2 3.748% 08/15/2050
 
Corporate Bond 100,000 units
 
100,241

 
 
NBCUniversal Enterprise, Inc. 1.974% Due 04/15/2019
 
Corporate Bond 100,000 units
 
99,682

 
 
Medtronic Inc. 3.5% Due 03/15/2025
 
Corporate Bond 100,000 units
 
99,605

 
 
Flagship Credit Auto 3.61999988556% Due 07/15/2023
 
Corporate Bond 100,000 units
 
99,513

 
 
Select Income Real Estate Investment Trust (REIT) 3.6% Due 02/01/2020
 
Corporate Bond 100,000 units
 
99,505

 

31



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
American Tower Corporation Fixed 2.8% Due 06/01/2020
 
Corporate Bond 100,000 units
 
99,232

 
 
Mercedes-Benz Auto 2.01% Due 01/17/2023
 
Corporate Bond 100,000 units
 
99,204

 
 
Federal National Mortgage Association Pool#CA1710 4.5% 05/01/2048
 
Government Bond 95,645 units
 
99,082

 
 
Caterpillar Financial Services Limited 2.1% Due 01/10/2020
 
Corporate Bond 100,000 units
 
99,024

 
 
Kroger Company 3.4% Due 04/15/2022
 
Corporate Bond 100,000 units
 
98,971

 
 
Octagon Investment Partners IV Limited Senior 15/1A Class AR Floating 10/20/2026
 
Corporate Bond 100,000 units
 
98,965

 
 
Canadian Natural Resources Limited 3.8% Due 04/15/2024
 
Corporate Bond 100,000 units
 
98,612

 
 
Fannie Mae REMIC Series 2013/6 Class GI 09/25/2032
 
Government Bond 1,048,923 units
 
98,596

 
 
Macquarie Group Limited Senior 5.033% Due 01/15/2030
 
Corporate Bond 100,000 units
 
98,543

 
 
Citigroup Inc. 2.9% Due 12/08/2021
 
Corporate Bond 100,000 units
 
98,383

 
 
Morgan Stanley Fixed 3.7% Due 10/23/2024
 
Corporate Bond 100,000 units
 
98,339

 
 
IBM Credit Corporation 3.0% 02/06/2023
 
Corporate Bond 100,000 units
 
98,084

 
 
Lincoln National Corporation 6.25% Due 02/15/2020
 
Corporate Bond 95,000 units
 
98,054

 
 
Xcel Energy Inc 2.6% Due 03/15/2022
 
Corporate Bond 100,000 units
 
97,624

 
 
Credit Suisse First Boston Mortgage Securities Corporation 2004/AR6 Pass-Through Class 2/A Variable Rate Due 10/25/34
 
Corporate Bond 97,891 units
 
97,600

 
 
Union Pacific Corporation 3.25% Due 01/15/2025
 
Corporate Bond 100,000 units
 
97,521

 
 
British Airways Pass Thru 3.8% 09/20/2031
 
Corporate Bond 98,908 units
 
96,971

 
 
Wells Fargo & Company 3.3% Due 09/09/2024*
 
Corporate Bond 100,000 units
 
96,734

 
 
Shire Acquisitions 2.4% Due 09/23/2021
 
Corporate Bond 100,000 units
 
96,698

 
 
John Deere Capital Corporation 3.35% 06/12/2024
 
Corporate Bond 97,000 units
 
96,669

 
 
Reynolds Group 5.75% Due 10/15/2020
 
Corporate Bond 96,911 units
 
96,668

 
 
Merrill Lynch Mortgage Investors, Inc. Series 2003/5 Class/A1 Due 10/25/2028*
 
Corporate Bond 97,943 units
 
96,479

 
 
Massmutual Global Funding 2.5% Due 10/17/2022
 
Corporate Bond 100,000 units
 
96,467

 
 
Citigroup Inc. 4.45% Due 09/29/2027
 
Corporate Bond 100,000 units
 
96,382

 
 
MetLife Global 3.875% Due 04/11/2022*
 
Corporate Bond 95,000 units
 
96,220

 
 
Wyeth 5.95% Due 04/01/2037
 
Corporate Bond 80,000 units
 
95,941

 
 
NiSource Finance Corporation 2.65% Due 11/17/2022
 
Corporate Bond 100,000 units
 
95,738

 
 
Simon Property Group Inc. 3.375% Due 12/01/2027
 
Corporate Bond 100,000 units
 
95,698

 
 
AIG Sun America Global Financing 6.9% Due 03/15/2032*
 
Corporate Bond 75,000 units
 
95,347

 
 
The Goldman Sachs Group Inc. 3.5% Due 11/16/2026
 
Corporate Bond 103,000 units
 
95,136

 
 
General Electric Capital Corporation 2.1% Due 12/11/2019
 
Corporate Bond 96,000 units
 
94,324

 
 
Morgan Stanley 5.5% Due 07/28/2021
 
Corporate Bond 90,000 units
 
94,319

 
 
Morgan Stanley 3.125% Due 07/27/2026
 
Corporate Bond 102,000 units
 
94,313

 
 
Canadian Pacific Railway Limited 7.125% Due 10/15/2031
 
Corporate Bond 75,000 units
 
93,968

 

32



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
American Tower Corporation 3.0% Due 06/15/2023
 
Corporate Bond 95,000 units
 
91,402

 
 
Texas Eastern Transmission, LP 2.8% Due 10/15/2022
 
Corporate Bond 95,000 units
 
91,356

 
 
Schlumberger Investment 2.4% Due 08/01/2022
 
Corporate Bond 95,000 units
 
91,221

 
 
Walgreens Boots Alliance, Inc. 4.8% Due 11/18/2044
 
Corporate Bond 100,000 units
 
91,047

 
 
DT Auto Owner Trust Series 17-1A Class C 2.7% 11/15/2022
 
Corporate Bond 90,955 units
 
90,732

 
 
Bayview Commercial Asset Trust Variable Rate Due 11/25/2035
 
Corporate Bond 93,340 units
 
90,588

 
 
United States Treasury SEC Stripped Interest Payment Due 02/15/2034
 
Government Bond 140,000 units
 
90,157

 
 
Comcast Corporation 2.35% Due 01/15/2027
 
Corporate Bond 100,000 units
 
89,389

 
 
Air Canada 3.55% Due 07/15/2031
 
Corporate Bond 93,000 units
 
88,854

 
 
Vodafone Group PLC 3.75% Due 01/16/2024
 
Corporate Bond 90,000 units
 
88,707

 
 
Chevron Phillips Chemical Company LLC 3.4% Due 12/01/2026
 
Corporate Bond 91,000 units
 
88,578

 
 
Shell International Finance BV 2.875% Due 05/10/2026
 
Corporate Bond 92,000 units
 
88,242

 
 
Enbridge Inc. 4.25% Due 12/01/2026
 
Corporate Bond 89,000 units
 
88,005

 
 
HSBC Holdings PLC 4.875% Due 01/14/2022
 
Corporate Bond 85,000 units
 
87,861

 
 
Diageo Capital PLC 4.828% Due 07/15/2020
 
Corporate Bond 85,000 units
 
87,328

 
 
Bank of New York Company, Inc. 3.65% Due 02/04/2024
 
Corporate Bond 87,000 units
 
87,178

 
 
Sequoia Mortgage Trust 2004/1 Floating Rate Due 11/20/2034
 
Corporate Bond 87,923 units
 
86,789

 
 
British Airways Pass Thru Trust 2018/1A 4.125% 09/20/2031
 
Corporate Bond 87,956 units
 
86,699

 
 
DT Auto Owner Trust SE 18/1A Class C 3.47% Due 12/15/2023
 
Corporate Bond 86,000 units
 
86,205

 
 
Shell International Finance BV 4% Due 05/10/2046
 
Corporate Bond 89,000 units
 
85,944

 
 
Comcast Corporation 4.6% 10/15/2038
 
Corporate Bond 85,000 units
 
85,831

 
 
Merrill Lynch Mortgage Investors, Inc. Series 2004/B Class 1 Due 05/25/2029*
 
Corporate Bond 87,876 units
 
85,616

 
 
Royal Bank Of Canada 4.65% Due 01/27/2026
 
Corporate Bond 83,000 units
 
85,441

 
 
Verizon Communications Inc. 4.329% 09/21/2028
 
Corporate Bond 85,000 units
 
85,349

 
 
U.S. Bancorp Tranche Trust 00175 3.7% Due 01/30/2024
 
Corporate Bond 84,000 units
 
85,302

 
 
Fannie Mae Preassign 00166 6.5% Due 08/25/2036
 
Government Bond 77,369 units
 
85,211

 
 
Penske Truck 4.125% Due 08/01/2023
 
Corporate Bond 85,000 units
 
84,850

 
 
Federal Home Loan Mortgage Corporation Series 2595 5% Due 04/15/2023
 
Government Bond 83,180 units
 
84,662

 
 
J.P. Morgan Mortgage Trust Series 2004/A3 Due 07/25/2034*
 
Corporate Bond 86,087 units
 
84,527

 
 
United States Treasury SEC Stripped Interest Payment Due 08/15/2032
 
Government Bond 125,000 units
 
84,423

 
 
Sunoco Logistics 4.25% Due 04/01/2024
 
Corporate Bond 87,000 units
 
84,392

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3087 5.5% Due 12/15/2025
 
Government Bond 81,532 units
 
83,668

 
 
Costco Wholesale Corporation 2.75% Due 05/18/2024
 
Corporate Bond 86,000 units
 
83,649

 
 
Westgate Resorts 2.15% Due 12/20/2026
 
Corporate Bond 83,513 units
 
83,353

 

33



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
The PNC Financial Services Group, Inc. 2.84% Due 11/09/2022
 
Corporate Bond 85,000 units
 
83,297

 
 
Citigroup Inc. 3.2% Due 10/21/2026
 
Corporate Bond 90,000 units
 
83,087

 
 
United States Treasury SEC Stripped Interest Payment Due 02/15/2026
 
Government Bond 100,000 units
 
82,804

 
 
Rabobank Netherlands Variable Rate Due 12/29/2049
 
Corporate Bond 80,000 units
 
82,600

 
 
Baker Hughes A General Electric Company LLC/Baker Hughes 4.08% 12/15/2047
 
Corporate Bond 100,000 units
 
82,405

 
 
Abbott Laboratories 3.875% Due 09/15/2025
 
Corporate Bond 81,000 units
 
82,019

 
 
United States Treasury Bond Inflation Index 2% Due 01/15/2026
 
Government Bond 60,000 units
 
81,581

 
 
Statoil ASA 2.65% Due 01/15/2024
 
Corporate Bond 84,000 units
 
81,252

 
 
Flagship Credit Auto 2.83% Due 03/15/2023
 
Corporate Bond 81,000 units
 
80,763

 
 
American Water Capital Corporation 3% Due 12/01/2026
 
Corporate Bond 85,000 units
 
80,509

 
 
Amazon Inc. 4.8% Due 12/05/2034
 
Corporate Bond 75,000 units
 
80,336

 
 
Deutsche Bank AG 3.375% Due 05/12/2021
 
Corporate Bond 83,000 units
 
80,099

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3005 5% Due 07/15/2025
 
Government Bond 77,641 units
 
79,645

 
 
Virginia Electric & Power Company 2.95% Due 01/15/2022
 
Corporate Bond 80,000 units
 
79,129

 
 
Red Finance Inc. 4.25% Due 05/15/2024
 
Corporate Bond 86,000 units
 
79,120

 
 
Rite Aid Corporation Senior 6.125% Due 04/01/2023/04/01/2019
 
Corporate Bond 100,000 units
 
79,000

 
 
State Street Corporation 3.55% Due 08/18/2025
 
Corporate Bond 79,000 units
 
78,803

 
 
Petro/Canada 7.875% Due 06/15/2026
 
Corporate Bond 65,000 units
 
77,885

 
 
Bank of America Corporation 3.95% Due 04/21/2025*
 
Corporate Bond 80,000 units
 
77,515

 
 
Duke Energy Florida 3.2% Due 01/15/2027
 
Corporate Bond 80,000 units
 
77,406

 
 
United States Treasury Notes 2.75% 04/30/2025
 
Government Bond 76,000 units
 
77,318

 
 
Fannie Mae Preassign 00653 5.5% Due 03/25/2023
 
Government Bond 75,132 units
 
77,151

 
 
CMS Energy Corporation 3.45% Due 08/15/2027
 
Corporate Bond 80,000 units
 
76,977

 
 
Bacardi Limited Guaranteed Note 4.7% Due 05/15/2028
 
Corporate Bond 80,000 units
 
76,879

 
 
Comcast Corporation 4.95% Due 10/15/2058
 
Corporate Bond 75,000 units
 
76,249

 
 
Ginnie Mae II Pool #3760 Series 2035 5.5% Due 09/20/2035
 
Government Bond 71,205 units
 
76,021

 
 
Medco Health 4.125% Due 09/15/2020
 
Corporate Bond 75,000 units
 
75,809

 
 
Burlington Northern and Santa Fe Railway Company 3.45% Due 09/15/2021
 
Corporate Bond 75,000 units
 
75,762

 
 
Sempra Energy Company 9.8% Due 02/15/2019
 
Corporate Bond 75,000 units
 
75,500

 
 
Realty Income Corporation 4.125% 10/15/2026
 
Corporate Bond 75,000 units
 
75,447

 
 
Macmo Master Asset Securitization Trust 5.5% Due 12/25/2033
 
Corporate Bond 74,868 units
 
75,373

 
 
Enterprise Products Operating LLC 3.5% 02/01/2022
 
Corporate Bond 75,000 units
 
75,199

 
 
Regions Financial Corporation 3.8% Due 08/14/2023
 
Corporate Bond 75,000 units
 
75,134

 
 
Ryder Systems Inc. Medium Term Notes Book Entrytranche # Trust 00225 3.5% Due 06/01/2021
 
Corporate Bond 75,000 units
 
75,097

 
 
Vodafone Group PLC 4.125% Due 05/30/2025
 
Corporate Bond 76,000 units
 
75,080

 
 
Sprint Corporation Fixed 7.625% Due 03/01/2026
 
Corporate Bond 76,000 units
 
75,050

 

34



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
NextEra Energy Capital Holdings, Inc. 3.625% Due 06/15/2023
 
Corporate Bond 75,000 units
 
74,908

 
 
Intelsat Jackson 8.5% Due 10/15/2024
 
Corporate Bond 77,000 units
 
74,690

 
 
Toyota Motor Corp 2.125% Due 07/18/2019
 
Corporate Bond 75,000 units
 
74,597

 
 
Fedex Corporation 4.2% 10/17/2028
 
Corporate Bond 75,000 units
 
74,508

 
 
Verizon Communications Inc. 3.125% Due 03/16/2022
 
Corporate Bond 75,000 units
 
74,500

 
 
BP Capital Markets American Fixed 3.245% Due 05/06/2022
 
Corporate Bond 75,000 units
 
74,350

 
 
AT&T Inc. 3.95% Due 01/15/2025
 
Corporate Bond 76,000 units
 
74,317

 
 
Transcanada Pipelines 4.25% Due 05/15/2028
 
Corporate Bond 75,000 units
 
74,276

 
 
GlaxoSmithKline PLC 2.85% Due 05/08/2022
 
Corporate Bond 75,000 units
 
74,091

 
 
Health Care REIT, Inc. 4% Due 06/01/2025
 
Corporate Bond 75,000 units
 
74,019

 
 
Exelon Generation Company LLC 6.25% Due 10/01/2039
 
Corporate Bond 70,000 units
 
72,999

 
 
Fannie Mae Tranche 00743 3.5% Due 10/25/2037
 
Government Bond 72,153 units
 
72,756

 
 
New York State Electric & Gas Corporation 3.25% Due 12/01/2026
 
Corporate Bond 75,000 units
 
72,730

 
 
Federal National Mortgage Association Series 2018/M3 Class A2 3.1935% 02/25/2030
 
Government Bond 75,000 units
 
71,957

 
 
CVS Health Corporation 4.78% Due 03/25/2038
 
Corporate Bond 75,000 units
 
71,869

 
 
Daiwa Securities Group Inc. 3.129% Due 04/19/2022
 
Corporate Bond 73,000 units
 
71,830

 
 
Renew 2017-1 Funding Note Class A 3.67000007629% Due 09/20/2052
 
Corporate Bond 70,878 units
 
71,309

 
 
Westpac Banking Corporation 4.322% Due 11/23/2031
 
Corporate Bond 75,000 units
 
71,188

 
 
Republic Services, Inc. 5.5% Due 09/15/2019
 
Corporate Bond 70,000 units
 
71,084

 
 
Nucor Corporation 4% Due 08/01/2023
 
Corporate Bond 70,000 units
 
71,074

 
 
Fannie Mae Series 417 Class C11 2.5% Due 2/25/2028
 
Government Bond 1,013,931 units
 
70,833

 
 
Time Warner Cable Inc. 7.3% Due 07/1/2038
 
Corporate Bond 65,000 units
 
70,464

 
 
Time Warner Cable Inc. 8.75% Due 02/14/2019
 
Corporate Bond 70,000 units
 
70,391

 
 
Chase Mortgage Financial Trust Series 2007/A1 Pass-Through Due 02/25/2037*
 
Corporate Bond 68,573 units
 
70,177

 
 
State Street Corporation Variable Rate 3.776% 12/03/2024
 
Corporate Bond 70,000 units
 
70,167

 
 
Capital One Financial Corporation 3.2% Due 02/05/2025
 
Corporate Bond 75,000 units
 
70,016

 
 
Invesco Finance PLC 4% Due 01/30/2024
 
Corporate Bond 70,000 units
 
69,887

 
 
International Flavors & 5% Due 09/26/2048
 
Corporate Bond 70,000 units
 
69,723

 
 
Comcast Corporation 3.375% Due 02/15/2025
 
Corporate Bond 71,000 units
 
69,539

 
 
Pacific Gas & Electric Company 6.05% Due 03/01/2034
 
Corporate Bond 75,000 units
 
69,492

 
 
Citigroup Inc. 4.6% Due 03/09/2026
 
Corporate Bond 70,000 units
 
69,086

 
 
Air Lease Corporation 3.25% Due 03/01/2025
 
Corporate Bond 75,000 units
 
68,907

 
 
PepsiCo, Inc. 2.375% Due 10/06/2026
 
Corporate Bond 75,000 units
 
68,854

 
 
Precision 3.25% Due 06/15/2025
 
Corporate Bond 70,000 units
 
68,758

 
 
Sumitomo Mitsui 2.632% Due 07/14/2026
 
Corporate Bond 75,000 units
 
68,588

 
 
BP Capital Markets American Fixed 3.224% Due 04/14/2024
 
Corporate Bond 70,000 units
 
68,535

 
 
Nutrien Limited Fixed 5.25% Due 01/15/2045
 
Corporate Bond 68,000 units
 
68,160

 
 
Americredit 1.53% Due 07/08/2021
 
Corporate Bond 68,515 units
 
68,159

 

35



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Principal Life Global 2.375% Due 11/21/2021*
 
Corporate Bond 70,000 units
 
68,088

 
 
Westar Energy Inc. 3.1% Due 04/01/2027
 
Corporate Bond 70,000 units
 
67,704

 
 
Alimentation Couche/Tard Inc. 2.7% Due 07/26/2022/07/26/2017
 
Corporate Bond 70,000 units
 
67,549

 
 
Wells Fargo & Company 2.625% Due 07/22/2022*
 
Corporate Bond 70,000 units
 
67,498

 
 
Reynolds American Inc. Fixed 4.45% Due 06/12/2025
 
Corporate Bond 70,000 units
 
67,496

 
 
Microsoft Corporation 2% Due 08/08/2023
 
Corporate Bond 70,000 units
 
67,302

 
 
United Technologies Corporation 1.95% Due 11/01/2021
 
Corporate Bond 70,000 units
 
67,197

 
 
American Tower Corporation 2.25% Due 01/15/2022
 
Corporate Bond 70,000 units
 
66,990

 
 
UBS Commercial Mortgage Income Only Trust 2012/C1 2.561868% Due 05/10/2045
 
Corporate Bond 1,226,417 units
 
66,826

 
 
American Airlines Group Inc. 3.0% Due 04/15/2030
 
Corporate Bond 70,085 units
 
66,191

 
 
Microsoft Corporation 3.45% Due 08/08/2036
 
Corporate Bond 70,000 units
 
65,930

 
 
CenterPoint Energy 3% Due 02/01/2027
 
Corporate Bond 69,000 units
 
65,845

 
 
Citigroup Inc. 3.4% Due 05/01/2026
 
Corporate Bond 70,000 units
 
65,843

 
 
Honeywell International Inc. 2.5% Due 11/01/2026
 
Corporate Bond 70,000 units
 
65,473

 
 
Target Corporation 2.5% Due 04/15/2026
 
Corporate Bond 70,000 units
 
65,352

 
 
Fannie Mae Single Family Mortgage 3% 15 Years Settles January
 
Government Bond 65,000 units
 
64,839

 
 
Consolidated Edison Company of New York Inc. 3.875% Due 06/15/2047
 
Corporate Bond 70,000 units
 
64,557

 
 
BB&T Corporation 2.625% Due 06/29/2020
 
Corporate Bond 65,000 units
 
64,418

 
 
The Home Depot, Inc. 3.75% Due 02/15/2024
 
Corporate Bond 63,000 units
 
64,417

 
 
General Mills Inc. 3.2% Due 02/10/2027
 
Corporate Bond 70,000 units
 
64,360

 
 
Fannie Mae Pool #890231 5% Due 07/01/2025
 
Government Bond 62,746 units
 
64,210

 
 
Bank of America Corporation 4.25% Due 10/22/2026*
 
Corporate Bond 66,000 units
 
64,192

 
 
Citigroup Inc. 2.65% Due 10/26/2020
 
Corporate Bond 65,000 units
 
64,136

 
 
Amerada Hess Corporation 7.3% Due 08/15/2031
 
Corporate Bond 59,000 units
 
63,841

 
 
American Home Mortgage Investment Trust Series 2004/3 Class 5A Variable Rate Due 10/25/2034
 
Corporate Bond 63,646 units
 
63,276

 
 
Bacardi Limited 5.3% 05/15/2048
 
Corporate Bond 70,000 units
 
63,194

 
 
Nutrien Limited Fixed 3.625% Due 03/15/2024
 
Corporate Bond 65,000 units
 
63,156

 
 
Burl Northern Santa Fixed 3% Due 04/01/2025
 
Corporate Bond 65,000 units
 
62,979

 
 
CVS Lease Backed Pass Thru Series 2013 Trust 4.704 01/10/2036
 
Corporate Bond 64,236 units
 
62,900

 
 
Constellation 4.75% Due 11/15/2024
 
Corporate Bond 60,000 units
 
62,162

 
 
Analog Devices Inc. 4.5% Due 12/05/2036
 
Corporate Bond 65,000 units
 
61,370

 
 
Intelsat Jackson Holdings S.A. 9.75% Due 07/15/2025
 
Corporate Bond 61,000 units
 
61,171

 
 
First Horizon National Corporation 4.75% Due 12/25/2034
 
Corporate Bond 59,570 units
 
61,036

 
 
DT Auto Owner Trust 3.77% Due 10/17/2022
 
Corporate Bond 60,700 units
 
60,791

 
 
Energy Transfer 3.6% Due 02/01/2023
 
Corporate Bond 63,000 units
 
60,696

 
 
Plains All American Pipeline LP 4.9% Due 02/15/2045
 
Corporate Bond 71,000 units
 
60,674

 

36



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
United Technologies Corporation 4.15% Due 05/15/2045
 
Corporate Bond 67,000 units
 
59,920

 
 
DT Auto Owner Trust Series 18/1A Class D 4.09% Due 12/15/2023
 
Corporate Bond 60,000 units
 
59,916

 
 
MidAmerican Energy 3.75% Due 11/15/2023
 
Corporate Bond 59,000 units
 
59,838

 
 
Federal Home Loan Mortgage Corporation Series 3542 Class N 0% Due 07/15/2036
 
Government Bond 68,374 units
 
59,625

 
 
Wells Fargo Mortgage Backed Securities 2004/EE Trust Variable Rate Due 12/25/2034*
 
Corporate Bond 57,728 units
 
59,541

 
 
Morgan Stanley Dean Witter Capital I Trust 2003/HYB1 Variable Rate Due 02/25/2033
 
Corporate Bond 60,623 units
 
59,421

 
 
PPL Capital Funding Inc. 3.4% Due 06/01/2023
 
Corporate Bond 60,000 units
 
59,362

 
 
Host Hotels & Resorts Inc. 3.875% Due 04/01/2024
 
Corporate Bond 60,000 units
 
59,191

 
 
American Express Credit Corporation 2.7% Due 03/03/2022
 
Corporate Bond 60,000 units
 
58,812

 
 
Synchrony Financial 3.7% Due 08/04/2026
 
Corporate Bond 69,000 units
 
58,529

 
 
Kroger Company 2.8% Due 08/01/2022
 
Corporate Bond 60,000 units
 
58,474

 
 
Chevron Corporation 2.566% Due 05/16/2023
 
Corporate Bond 60,000 units
 
58,433

 
 
BB&T Corporation 2.05% Due 05/10/2021
 
Corporate Bond 60,000 units
 
58,424

 
 
Analog Devices, Inc. 3.125% Due 12/05/2023
 
Corporate Bond 60,000 units
 
58,281

 
 
Southern Power Company 1.95% Due 12/15/2019
 
Corporate Bond 59,000 units
 
58,110

 
 
Prudential Financial 3.905% Due 12/07/2047*
 
Corporate Bond 65,000 units
 
58,083

 
 
Deutsche Bank AG 3.125% Due 01/13/2021
 
Corporate Bond 60,000 units
 
58,069

 
 
Sequoia Mortgage Trust 2004/1, 2004/8 Variable Rate Due 09/20/2034
 
Corporate Bond 58,395 units
 
57,821

 
 
Campbell Soup Company 3.95% Due 03/15/2025
 
Corporate Bond 60,000 units
 
57,483

 
 
Teachers Ins & 4.27% Due 05/15/2047
 
Corporate Bond 60,000 units
 
57,428

 
 
Hero Funding Trust 2016-3 3.08% Due 09/20/2042
 
Corporate Bond 58,671 units
 
57,414

 
 
Centene Corp 4.75% Due 01/15/2025
 
Corporate Bond 60,000 units
 
57,300

 
 
Cisco Systems, Inc. 2.95% Due 02/28/2026
 
Corporate Bond 60,000 units
 
57,207

 
 
The Goldman Sachs Group Inc. 2.905% Due 07/24/2023
 
Corporate Bond 60,000 units
 
57,155

 
 
Level 3 Financing Inc. 5.375% Due 01/15/2024
 
Corporate Bond 60,000 units
 
57,150

 
 
Qualcomm Inc. 2.9% Due 05/20/2024
 
Corporate Bond 60,000 units
 
57,132

 
 
Hyundai Auto Fixed 2.79% Due 07/15/2022
 
Corporate Bond 57,000 units
 
56,954

 
 
Oracle Corporation 3.85% Due 07/15/2036
 
Corporate Bond 60,000 units
 
56,669

 
 
AGL Capital Corporation 5.875% Due 03/15/2041
 
Corporate Bond 50,000 units
 
56,507

 
 
Abbvie Inc. 4.3% Due 05/14/2036
 
Corporate Bond 63,000 units
 
56,207

 
 
CWMBS, Inc. 5.25% Due 05/25/2034
 
Corporate Bond 56,454 units
 
56,038

 
 
BMW US Capital, LLC 2.25% Due 09/15/2023
 
Corporate Bond 60,000 units
 
55,983

 
 
Verizon Owner Trust 2016-1 1.42% Due 01/20/2021
 
Corporate Bond 56,189 units
 
55,914

 
 
Structured Asset Securities Corporation 2003/26A Pass-Through Due 09/25/2033
 
Corporate Bond 55,402 units
 
55,624

 
 
GS Mortgage Securities Corporation 2005/RP2 Variable Rate Due 03/25/2035
 
Corporate Bond 59,667 units
 
55,581

 
 
Structured Asset Securities Corporation Series 2004/6XS Due 03/25/2034
 
Corporate Bond 55,056 units
 
55,539

 
 
The Goldman Sachs Group Inc. 3.75% Due 05/22/2025
 
Corporate Bond 58,000 units
 
55,493

 

37



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Federal Home Loan Mortgage Corporation Multiclass Series 3852 Class QN Floating Rate Due 05/15/2041
 
Government Bond 54,381 units
 
55,320

 
 
Master Alternative Loan Trust 2004/1 5.5% Pass-Through
 
Corporate Bond 53,794 units
 
55,159

 
 
Santander Drive Auto Fixed 3.73% Due 07/17/2023
 
Corporate Bond 55,000 units
 
54,711

 
 
Northern States Power Company 4.125% Due 05/15/2044
 
Corporate Bond 54,000 units
 
54,509

 
 
NiSource Finance Corporation 5.65% Due 02/01/2045
 
Corporate Bond 50,000 units
 
54,435

 
 
Transocean 5.875% Due 01/15/2024
 
Corporate Bond 56,000 units
 
53,620

 
 
Shell International Finance BV 4.125% Due 05/11/2035
 
Corporate Bond 54,000 units
 
53,593

 
 
Sempra Energy Company 4.05% Due 12/01/2023
 
Corporate Bond 53,000 units
 
53,390

 
 
Thornburg Mortgage Securities Trust 2004/3 Pass-Through Floating Rate Due 11/30/2044
 
Corporate Bond 54,321 units
 
53,221

 
 
Ginnie Mae Pool #AE8877 Series 2037 5.5% Due 01/15/2037
 
Government Bond 49,205 units
 
53,192

 
 
Apple Inc. 2.85% Due 05/06/2021
 
Corporate Bond 53,000 units
 
53,065

 
 
Public Service Electric and Gas Company 2.25% Due 09/15/2026
 
Corporate Bond 58,000 units
 
52,986

 
 
Fannie Mae REMIC Trust 2007/W1 Variable Rate Due 11/25/2046
 
Government Bond 52,932 units
 
52,117

 
 
UnitedHealth Group, Inc. 3.1% Due 03/15/2026
 
Corporate Bond 54,000 units
 
52,115

 
 
Time Warner Inc. 3.6% Due 07/15/2025
 
Corporate Bond 55,000 units
 
52,092

 
 
HCA Inc. 5.25% Due 04/15/2025
 
Corporate Bond 52,000 units
 
51,740

 
 
Bayview Commercial Asset Trust Variable Rate Due 01/25/2036
 
Corporate Bond 54,143 units
 
51,708

 
 
AmeriCredit CDA Automobile Series 17-1 Class D 3.13% Due 01/18/2023
 
Corporate Bond 52,000 units
 
51,694

 
 
Nutrien Limited 3.375% Due 03/15/2025
 
Corporate Bond 55,000 units
 
51,673

 
 
Boardwalk REIT 5.95% Due 06/01/2026
 
Corporate Bond 50,000 units
 
51,656

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 4030 Income Only 3.50% Due 04/15/2027
 
Government Bond 565,556 units
 
51,575

 
 
Goodman Us Finance Three LLC 3.7% Due 03/15/2028
 
Corporate Bond 54,000 units
 
51,394

 
 
Medtronic Inc. 4.375% Due 03/15/2035
 
Corporate Bond 50,000 units
 
51,192

 
 
Duke Energy Carolinas, LLC 4.3% Due 06/15/2020
 
Corporate Bond 50,000 units
 
50,970

 
 
Canadian Natural Resources Limited 3.85% Due 06/01/2027
 
Corporate Bond 54,000 units
 
50,939

 
 
Fannie Mae REMIC Series 2013/13 Class IK Due 03/25/2028
 
Government Bond 686,575 units
 
50,848

 
 
Suntrust Bank Bonds 4.05% 11/03/2025
 
Corporate Bond 50,000 units
 
50,845

 
 
UnitedHealth Group, Inc. 3.75% Due 07/15/2025
 
Corporate Bond 50,000 units
 
50,613

 
 
Manulife Financial Corporation 4.15% Due 03/04/2026
 
Corporate Bond 50,000 units
 
50,499

 
 
National Retail Properties, Inc. 4% Due 11/15/2025
 
Corporate Bond 51,000 units
 
50,459

 
 
Entergy Corporation 4.0% Due 07/15/2022
 
Corporate Bond 50,000 units
 
50,439

 
 
Master Alternative Loan Trust 2004/3 6.25% Due 04/25/2034
 
Corporate Bond 48,283 units
 
50,402

 

38



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Valeant Pharmaceuticals International Inc. 5.5% Due 03/01/2023
 
Corporate Bond 55,000 units
 
50,325

 
 
General Electric Capital Corporation Trust 00750 Variable Rate Due 08/15/36
 
Corporate Bond 75,000 units
 
50,309

 
 
Nextera Energy Capital 3.342% Due 09/01/2020
 
Corporate Bond 50,000 units
 
50,099

 
 
Keycorp Medium Term Senior Notes Book 4.1% 04/30/2028
 
Corporate Bond 50,000 units
 
50,066

 
 
Government Properties Inc. Trust 3.75% Due 08/15/2019
 
Corporate Bond 50,000 units
 
50,049

 
 
Orange SA 2.75% Due 02/06/2019
 
Corporate Bond 50,000 units
 
49,971

 
 
ARC Properties Operating Partnership LP / Clark A3 Due 02/06/2019
 
Corporate Bond 50,000 units
 
49,970

 
 
Bank of Nova Scotia B C Fixed 3.125% Due 04/20/2021
 
Corporate Bond 50,000 units
 
49,921

 
 
Florida Power & Light Company 3.25% Due 06/01/2024
 
Corporate Bond 50,000 units
 
49,881

 
 
Kraft Heinz Foods 4% Due 06/15/2023
 
Corporate Bond 50,000 units
 
49,869

 
 
Prudential Financial, Inc. 2.35% Due 08/15/2019*
 
Corporate Bond 50,000 units
 
49,766

 
 
SunTrust Banks Inc 2.7% Due 01/27/2022
 
Corporate Bond 51,000 units
 
49,740

 
 
Hydro/Quebec Series 8.05% Due 07/07/2024
 
Government Bond 40,000 units
 
49,685

 
 
APT Pipelines Limited 4.25% Due 07/15/2027
 
Corporate Bond 51,000 units
 
49,625

 
 
Western Gas Partners LP 4 Due 07/01/2022
 
Corporate Bond 50,000 units
 
49,572

 
 
Nissan Auto 1.32% Due 01/15/2021
 
Corporate Bond 49,929 units
 
49,530

 
 
Welltower Inc. Fixed 4.25% Due 04/15/2028
 
Corporate Bond 50,000 units
 
49,496

 
 
Microsoft Corporation 3.125% Due 11/03/2025
 
Corporate Bond 50,000 units
 
49,452

 
 
Verizon Communications Inc. 4.5% Due 08/10/2033
 
Corporate Bond 50,000 units
 
49,354

 
 
Arrow Electronics Inc. 3.5% Due 04/01/2022
 
Corporate Bond 50,000 units
 
49,328

 
 
Fannie Mae Pool #256601 6% Due 02/01/2027
 
Government Bond 45,860 units
 
49,223

 
 
The Commonwealth Bank of Australia 2.75% Due 03/10/2022
 
Corporate Bond 50,000 units
 
49,059

 
 
Viacom Inc. 3.875% Due 04/01/2024
 
Corporate Bond 50,000 units
 
49,044

 
 
Aviation Capital Group LLC 3.875% Due 05/01/2023
 
Corporate Bond 50,000 units
 
48,986

 
 
Roper Technologies, Inc. 2.8% Due 12/15/2021
 
Corporate Bond 50,000 units
 
48,984

 
 
The Walt Disney Company 2.45% Due 03/04/2022
 
Corporate Bond 50,000 units
 
48,945

 
 
AT&T Inc. 5.45% Due 03/01/2047
 
Corporate Bond 50,000 units
 
48,835

 
 
Apple Inc. 2.85% Due 05/11/2024
 
Corporate Bond 50,000 units
 
48,782

 
 
Novartis Capital Corporation 3% Due 11/20/2025
 
Corporate Bond 50,000 units
 
48,434

 
 
Citigroup Inc. 2.876% Due 07/24/2023
 
Corporate Bond 50,000 units
 
48,386

 
 
Apple Inc. 2.75% Due 01/13/2025
 
Corporate Bond 50,000 units
 
48,213

 
 
EPR Properties 4.5% Due 06/01/2027
 
Corporate Bond 50,000 units
 
48,191

 
 
Eli Lilly and Company 2.75% Due 06/01/2025
 
Corporate Bond 50,000 units
 
48,161

 
 
Pilgrims Pride Corporation 5.875% Due 09/30/2027
 
Corporate Bond 53,000 units
 
48,098

 
 
Macquarie Group Limited 3.189% Due 11/28/2023
 
Corporate Bond 50,000 units
 
48,057

 
 
Ryder Systems Inc. 2.5% Due 09/01/2022
 
Corporate Bond 50,000 units
 
48,039

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 4168 Class JA 3.5% Due 02/15/2043
 
Government Bond 47,958 units
 
47,904

 

39



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Occidental Petroleum 4.2% Due 03/15/2048
 
Corporate Bond 50,000 units
 
47,787

 
 
MPLX LP 4.125% Due 03/01/2027
 
Corporate Bond 50,000 units
 
47,606

 
 
AT&T Inc. Fixed 4.3% 02/15/2030
 
Corporate Bond 50,000 units
 
47,249

 
 
Conagra Brands Inc. Formerly Conagra 5.3% 11/01/2038
 
Corporate Bond 50,000 units
 
47,247

 
 
Senior Housing Properties Trust Fixed 4.75% Due 02/15/2028
 
Corporate Bond 50,000 units
 
47,172

 
 
Manulife Financial Corporation 4.061% Due 02/24/2032
 
Corporate Bond 50,000 units
 
47,151

 
 
Transcontinental Gas Pipe Line 4.6% Due 03/15/2048
 
Corporate Bond 50,000 units
 
46,751

 
 
General Motors Financial Company, Inc. 4% Due 10/06/2026
 
Corporate Bond 52,000 units
 
46,687

 
 
Southern Natural Gas Coompany LLC
 
Corporate Bond 49,000 units
 
46,595

 
 
Fannie Mae Pool #735070 6.5% Due 10/01/2024
 
Government Bond 43,273 units
 
46,469

 
 
Intel Corporation 3.7% Due 07/29/2025
 
Corporate Bond 46,000 units
 
46,402

 
 
CBS Corporation Fixed 3.7% Due 06/01/2028
 
Corporate Bond 50,000 units
 
46,390

 
 
Air Lease Corporation 2.125% Due 01/15/2020
 
Corporate Bond 47,000 units
 
46,321

 
 
Transocean Pontus Limited 6.125% Due 08/01/2025
 
Corporate Bond 48,000 units
 
46,320

 
 
CVS Corporation 7.15% Pass-Through CTFs 05/15/2019
 
Corporate Bond 38,235 units
 
46,241

 
 
Martin Marietta 3.45% Due 06/01/2027
 
Corporate Bond 50,000 units
 
46,183

 
 
Apache Corporation 6% Due 01/15/2037
 
Corporate Bond 45,000 units
 
46,108

 
 
Commonwealth REIT 5.875% Due 09/15/2020
 
Corporate Bond 45,000 units
 
46,097

 
 
Duke Energy Indiana, LLC 3.75% Due 05/15/2046
 
Corporate Bond 50,000 units
 
46,087

 
 
Rockwell Collins Inc. 3.5% Due 03/15/2027
 
Corporate Bond 49,000 units
 
45,996

 
 
Entergy Louisiana LLC 2.4% Due 10/01/2026
 
Corporate Bond 50,000 units
 
45,980

 
 
CBS Corporation 3.7% Due 08/15/2024
 
Corporate Bond 47,000 units
 
45,673

 
 
Washington Mutual Mortgage 5.5% Due 04/25/2033
 
Corporate Bond 44,331 units
 
45,491

 
 
Expedia Inc. Fixed 3.8% Due 02/15/2028
 
Corporate Bond 50,000 units
 
45,342

 
 
Southwestern Electric 3.9% Due 04/01/2045
 
Corporate Bond 50,000 units
 
45,018

 
 
The Home Depot, Inc. 2.125% Due 09/15/2026
 
Corporate Bond 50,000 units
 
45,008

 
 
United States Treasury Notes Dated 05/15/2014 2.5% Due 05/15/2024
 
Government Bond 45,000 units
 
44,917

 
 
VMware Inc. 2.95% Due 08/21/2022
 
Corporate Bond 47,000 units
 
44,799

 
 
Tenet Healthcare Corporation 4.625% Senior Security Notes 07/15/2024
 
Corporate Bond 48,000 units
 
44,640

 
 
Southern Natural Gas Company 8% Due 03/01/2032
 
Corporate Bond 35,000 units
 
44,518

 
 
Fannie Mae Pool #254762 5% Due 05/01/2023
 
Government Bond 42,212 units
 
44,218

 
 
Hess Corporation 5.6% Due 02/15/2041
 
Corporate Bond 50,000 units
 
43,997

 
 
Texas Instruments Inc. 2.75% Due 03/12/2021
 
Corporate Bond 44,000 units
 
43,734

 
 
Illinois Tool Works Inc. 3.5% Due 03/01/2024
 
Corporate Bond 43,000 units
 
43,659

 
 
AmeriCredit Automobile Receivables Class B 2.3% Due 02/18/2022
 
Corporate Bond 44,000 units
 
43,564

 
 
Exeter Automobile 2.84% Due 08/16/2021
 
Corporate Bond 43,534 units
 
43,471

 
 
Washington Mutual Mortgage Pass-Through 2.67% Due 08/25/2033
 
Corporate Bond 42,317 units
 
43,332

 
 
The Goldman Sachs Group Inc. 2.908% Due 06/05/2023
 
Corporate Bond 45,000 units
 
43,200

 

40



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
United Airlines Inc. 2018/1B Pass Thru Trust 4.6% 09/01/2027
 
Corporate Bond 43,000 units
 
43,018

 
 
American International Group 3.875% Due 01/15/2035*
 
Corporate Bond 50,000 units
 
42,943

 
 
Fannie Mae 1.43% Due 03/25/2037
 
Government Bond 390,771 units
 
42,925

 
 
Nissan Auto 1.34% Due 10/15/2020
 
Corporate Bond 43,084 units
 
42,857

 
 
American Airlines Group Inc. 3.65% Due 06/15/2028
 
Corporate Bond 44,975 units
 
42,708

 
 
Antero Resources Corporation 5.125% 12/01/2022
 
Corporate Bond 45,000 units
 
42,300

 
 
Northrop Grumman Corporation 3.2% Due 02/01/2027
 
Corporate Bond 45,000 units
 
42,196

 
 
Suncor Energy Inc. 3.6% Due 12/01/2024
 
Corporate Bond 43,000 units
 
42,058

 
 
Fannie Mae Pool #256556 6% Due 01/01/2027
 
Government Bond 39,122 units
 
41,978

 
 
Athene Global Funding 2.75% Due 04/20/2020
 
Corporate Bond 42,000 units
 
41,613

 
 
Morgan Stanley 3.591% Due 07/22/2028
 
Corporate Bond 44,000 units
 
41,602

 
 
Fannie Mae REMIC Trust 2005/103 Variable Rate Due 07/25/2035
 
Government Bond 37,773 units
 
41,578

 
 
Range Resources Corporation 4.875% Due 05/15/2025
 
Corporate Bond 50,000 units
 
41,000

 
 
CCO Holdings LLC 5.125% Due 05/01/2027
 
Corporate Bond 44,000 units
 
40,982

 
 
Apple Inc. 3.85% Due 08/04/2046
 
Corporate Bond 44,000 units
 
40,919

 
 
Centene Escrow I Corporation 5.375% 06/01/2026
 
Corporate Bond 42,000 units
 
40,845

 
 
MPLX LP 4.875% Due 12/01/2024
 
Corporate Bond 40,000 units
 
40,717

 
 
Wells Fargo Mortgage Backed Securities Variable Rate Due 09/25/2034*
 
Corporate Bond 39,663 units
 
40,692

 
 
Boston Properties Limited Partnership 2.75% Due 10/01/2026
 
Corporate Bond 45,000 units
 
40,645

 
 
Marsh & McLennan Companies, Inc. 2.35% Due 03/06/2020
 
Corporate Bond 41,000 units
 
40,636

 
 
Ford Credit Auto Owner 1.33% Due 10/15/2020
 
Corporate Bond 40,747 units
 
40,560

 
 
Ginnie Mae 2007/024 REMIC Pass-Through Floating Rate Due 05/20/2037
 
Government Bond 320,645 units
 
40,443

 
 
Union Pacific Corporation 3.75% Due 03/15/2024
 
Corporate Bond 40,000 units
 
40,346

 
 
United Airlines Inc. 3.5% Due 03/01/2030
 
Corporate Bond 41,000 units
 
40,248

 
 
Ford Motor Company 7.45% Due 07/16/2031
 
Corporate Bond 39,000 units
 
40,210

 
 
Realty Income Corporation 3.875% Due 07/15/2024
 
Corporate Bond 40,000 units
 
40,067

 
 
Central Garden & Pet 6.125% Due 11/15/2023
 
Corporate Bond 40,000 units
 
39,900

 
 
Lowes Companies, Inc. 3.375% Due 09/15/2025
 
Corporate Bond 42,000 units
 
39,856

 
 
Guardian Life 3.4% Due 04/25/2023
 
Corporate Bond 40,000 units
 
39,850

 
 
US Bancorp 2.625% Due 01/24/2022
 
Corporate Bond 40,000 units
 
39,392

 
 
Sumitomo Mitsui 2.84% Due 01/11/2022
 
Corporate Bond 40,000 units
 
39,265

 
 
American Tower Corporation 4% Due 06/01/2025
 
Corporate Bond 40,000 units
 
39,242

 
 
John Deere Capital Corporation 2.65% Due 01/06/2022
 
Corporate Bond 40,000 units
 
39,235

 
 
Jackson National Life Global Funding 2.25% Due 04/29/2021
 
Corporate Bond 40,000 units
 
39,057

 
 
Actavis Funding SCS 3.8% Due 03/15/2025
 
Corporate Bond 40,000 units
 
39,049

 
 
Westlake 2.7% Due 10/17/2022
 
Corporate Bond 39,000 units
 
38,804

 

41



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Ford Credit Auto Lease Trust 2017-B NT Class A-3 2.03% Due 12/15/2020
 
Corporate Bond 39,000 units
 
38,706

 
 
PNC Funding Corp 4.375% Due 08/11/2020
 
Corporate Bond 38,000 units
 
38,698

 
 
Brixmor Operating Partnership LP 3.85% Due 02/01/2025
 
Corporate Bond 40,000 units
 
38,664

 
 
PepsiCo, Inc. 4.45% Due 04/14/2046
 
Corporate Bond 37,000 units
 
38,641

 
 
Comcast Corporation 3.55% Due 05/01/2028
 
Corporate Bond 40,000 units
 
38,610

 
 
United States Treasury SEC Stripped Interest Payment Due 05/15/2028
 
Government Bond 50,000 units
 
38,516

 
 
Alabama Power Company 5.875% Due 12/01/2022
 
Corporate Bond 35,000 units
 
38,386

 
 
The Charles Schwab Corporation 3.2% Due 03/02/2027
 
Corporate Bond 40,000 units
 
38,159

 
 
United Airlines Inc. 3.7% Due 09/01/2031
 
Corporate Bond 39,000 units
 
38,038

 
 
FedEx Corporation 3.3% Due 03/15/2027
 
Corporate Bond 40,000 units
 
38,034

 
 
Fannie Mae REMIC Trust 2010/49 Variable Rate Due 03/25/2040
 
Government Bond 34,359 units
 
37,982

 
 
Bank of America Corporation 3.093% 10/01/2025*
 
Corporate Bond 40,000 units
 
37,928

 
 
Colony American Finance 2016/1 Secondary Note Class A Due 06/15/2048
 
Corporate Bond 38,399 units
 
37,818

 
 
SBA Communications 4.875% Due 09/01/2024
 
Corporate Bond 40,000 units
 
37,600

 
 
PNC Funding Corp 6.7% Due 06/10/2019
 
Corporate Bond 37,000 units
 
37,584

 
 
Level 3 Financing Inc. 5.375% Due 05/01/2025
 
Corporate Bond 40,000 units
 
37,500

 
 
Citigroup Inc. 2.7% Due 03/30/2021
 
Corporate Bond 38,000 units
 
37,436

 
 
Virginia Electric & Power Company 4.45% Due 02/15/2044
 
Corporate Bond 37,000 units
 
37,206

 
 
Matthews International Corporation 5.25% Due 12/01/2025
 
Corporate Bond 40,000 units
 
37,200

 
 
Hartford Financial Services 4.3 Due 04/15/2043
 
Corporate Bond 40,000 units
 
37,160

 
 
General Motors Financial Company, Inc. 3.7% Due 05/09/2023
 
Corporate Bond 39,000 units
 
37,106

 
 
Shire Acquisitions 2.875% Due 09/23/2023
 
Corporate Bond 39,000 units
 
36,867

 
 
Avalonbay 2.9% Due 10/15/2026
 
Corporate Bond 39,000 units
 
36,799

 
 
Vodafone Group PLC 6.15% Due 02/27/2037
 
Corporate Bond 35,000 units
 
36,684

 
 
Markel Corporation 5.35% Due 06/01/2021
 
Corporate Bond 35,000 units
 
36,429

 
 
Celgene Corporation 3.45% Due 11/15/2027
 
Corporate Bond 40,000 units
 
36,400

 
 
Boston Properties Limited Partnership 3.2% Due 01/15/2025
 
Corporate Bond 38,000 units
 
36,285

 
 
Cincinnati Financial Corporation 6.92% Due 05/15/2028
 
Corporate Bond 30,000 units
 
36,131

 
 
United States Treasury Bonds Dated 3.125% 05/15/2048
 
Government Bond 35,000 units
 
35,664

 
 
Torchmark Corporation 4.55% Due 09/15/2028
 
Corporate Bond 35,000 units
 
35,562

 
 
Sunoco Logistics 4.65% Due 02/15/2022
 
Corporate Bond 35,000 units
 
35,541

 
 
Master Adjustable Rate Mortgages Trust 2004/8 Due 08/25/2034
 
Corporate Bond 35,324 units
 
35,454

 
 
Fannie Mae Pool #550389 6.45% Due 09/1/2030
 
Government Bond 34,814 units
 
35,019

 
 
Ginnie Mae REMIC Series 2008/40 Floating Rate Due 05/16/2038
 
Government Bond 248,542 units
 
34,744

 
 
Avangrid Inc. 3.15% Due 12/01/2024
 
Corporate Bond 36,000 units
 
34,740

 
 
Berkshire Hathaway Inc. 3.5% Due 02/01/2025
 
Corporate Bond 35,000 units
 
34,705

 

42



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Consumers Energy Company 3.125% Due 08/31/2024
 
Corporate Bond 35,000 units
 
34,566

 
 
Bank of America Corporation 3.419% 12/20/2028*
 
Corporate Bond 37,000 units
 
34,564

 
 
Morgan Stanley Mortgage Loan Trust 2004/2AR Due 09/25/2034
 
Corporate Bond 33,566 units
 
34,317

 
 
J.P. Morgan Mortgage Trust 2006/A2 3.75% Due 04/25/2036*
 
Corporate Bond 33,477 units
 
34,261

 
 
Tennessee Valley Authority Global Power Bond Series A 4.25% Due 09/15/2065
 
Government Bond 30,000 units
 
34,133

 
 
Rogers Cable Inc. 8.75% Due 05/01/2032
 
Corporate Bond 25,000 units
 
34,061

 
 
CVS Health Corporation 4.3% Due 03/25/2028
 
Corporate Bond 34,000 units
 
33,239

 
 
Valvoline Inc. 4.375% Due 08/15/2025
 
Corporate Bond 36,000 units
 
33,120

 
 
Ginnie Mae Pool 2013/H05 REMIC Pass-Through Class FB Floating Rate Due 02/20/2062
 
Government Bond 32,996 units
 
32,951

 
 
Intercontinental Exchange Inc. 4% Due 10/15/2023
 
Corporate Bond 32,000 units
 
32,765

 
 
GS Mortgage Securities Corporation 2004/6F 5.5% Due 05/25/3034
 
Corporate Bond 31,752 units
 
32,235

 
 
Dominion Resources Inc. 2.75% Due 01/15/2022
 
Corporate Bond 33,000 units
 
32,144

 
 
Crown Castle International Corporation 4% Due 03/01/2027
 
Corporate Bond 33,000 units
 
32,141

 
 
Canadian Natural Resources Limited 3.9% Due 02/01/2025
 
Corporate Bond 33,000 units
 
32,043

 
 
Statoil ASA 3.25% Due 11/10/2024
 
Corporate Bond 32,000 units
 
31,866

 
 
Phillips 66 3.55% Due 10/01/2026
 
Corporate Bond 34,000 units
 
31,779

 
 
Enterprise Products Company 7.55% Due 04/15/2038
 
Corporate Bond 25,000 units
 
31,649

 
 
Anheuser-Busch 2.65% Due 02/01/2021
 
Corporate Bond 32,000 units
 
31,469

 
 
Nissan Motor Company Ltd 1.9% Due 09/14/2021
 
Corporate Bond 33,000 units
 
31,426

 
 
Enterprise Products Company 3.9% Due 02/15/2024
 
Corporate Bond 31,000 units
 
31,263

 
 
Anheuser-Busch 4.375% Due 04/15/2038
 
Corporate Bond 35,000 units
 
31,227

 
 
The Estee Lauder Companies Inc. 3.15% Due 03/15/2027
 
Corporate Bond 32,000 units
 
31,180

 
 
Bank of New York Company, Inc. 2.2% Due 05/15/2019
 
Corporate Bond 31,000 units
 
30,928

 
 
Atmos Energy Corporation 4.125% Due 10/15/2044
 
Corporate Bond 32,000 units
 
30,869

 
 
Anheuser-Busch 4.75% Due 04/15/2058
 
Corporate Bond 35,000 units
 
30,458

 
 
ERP Operating Limited Partnership 2.85% Due 11/01/2026
 
Corporate Bond 32,000 units
 
30,077

 
 
Tyson Foods, Inc. 4.875% Due 08/15/2034
 
Corporate Bond 31,000 units
 
30,016

 
 
DXC Technology Company Senior Notes Floating Due 3/01/2021
 
Corporate Bond 30,000 units
 
29,967

 
 
Nucor Corporation 6.4% Due 12/01/2037
 
Corporate Bond 25,000 units
 
29,850

 
 
EPR Properties 4.95% Due 04/15/2028
 
Corporate Bond 30,000 units
 
29,685

 
 
Fannie Mae Stripped Mortgage/Backed Securities Trust 410 Class 29 4% Due 05/25/2027
 
Government Bond 357,522 units
 
29,542

 
 
Spectrum Brands, Inc. 5.75% Due 07/15/2025
 
Corporate Bond 31,000 units
 
29,441

 
 
Starbucks Corporation 2.7% Due 06/15/2022
 
Corporate Bond 30,000 units
 
29,402

 
 
Fannie Mae 0% Due 12/01/2024
 
Government Bond 31,054 units
 
29,376

 
 
Apple Inc. 3.45% Due 05/06/2024
 
Corporate Bond 29,000 units
 
29,137

 

43



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Ginnie Mae 2008/060 REMIC Pass-Through 5.5% Due 07/20/2038
 
Government Bond 26,809 units
 
29,136

 
 
Spirit Airlines Inc. Class AA 3.375% Due 08/15/2031
 
Corporate Bond 30,417 units
 
29,098

 
 
American International Group 4.2% Due 04/01/2028*
 
Corporate Bond 30,000 units
 
28,901

 
 
Banc America Mortgage Securities Inc. 2004/C 3.73055% Due 04/25/2034*
 
Corporate Bond 28,470 units
 
28,670

 
 
Parker Hannifin Corporation 3.3% Due 11/21/2024
 
Corporate Bond 29,000 units
 
28,634

 
 
Duke Energy 3.95% 03/15/2048
 
Corporate Bond 30,000 units
 
28,626

 
 
Blackstone Holdings 4.45% Due 07/15/2045
 
Corporate Bond 31,000 units
 
28,620

 
 
American International Group 4.7% Due 07/10/2035*
 
Corporate Bond 30,000 units
 
28,460

 
 
Toronto-Dominion Bank 2.125% Due 04/07/2021
 
Corporate Bond 29,000 units
 
28,378

 
 
Wells Fargo & Company 4.9% Due 11/17/2045*
 
Corporate Bond 29,000 units
 
28,277

 
 
Clear Channel International 8.75% Due 12/15/2020
 
Corporate Bond 28,000 units
 
28,210

 
 
Vodafone Group PLC 5% Due 05/30/2038
 
Corporate Bond 30,000 units
 
28,110

 
 
State Street Corporation 2.65% Due 05/19/2026
 
Corporate Bond 30,000 units
 
28,089

 
 
MPLX LP 4.8% 02/15/2029
 
Corporate Bond 28,000 units
 
27,931

 
 
Fannie Mae REMIC Series 2004/36 Due 05/25/2034
 
Government Bond 21,102 units
 
27,755

 
 
Thermo Fisher Corporation 2.95% Due 09/19/2026
 
Corporate Bond 30,000 units
 
27,685

 
 
Bank of America Corporation 4.45% Due 03/03/2026*
 
Corporate Bond 28,000 units
 
27,681

 
 
Masco Corporation 6.5% Due 08/15/2032
 
Corporate Bond 25,000 units
 
27,636

 
 
Macquarie Group Limited Senior Medium 3.763% 11/28/2028
 
Corporate Bond 30,000 units
 
27,510

 
 
Dow Chemical Company 4.25% Due 10/01/2034
 
Corporate Bond 30,000 units
 
27,492

 
 
General Motors Financial Company, Inc. 3.5% Due 11/07/2024
 
Corporate Bond 30,000 units
 
27,430

 
 
Rogers Cable Inc. 3.625% Due 12/15/2025
 
Corporate Bond 28,000 units
 
27,299

 
 
Alabama Power Company 3.55% Due 12/01/2023
 
Corporate Bond 27,000 units
 
27,266

 
 
Federal Home Loan Mortgage Corporation Series 2899 4% Due 12/15/2019
 
Government Bond 27,163 units
 
27,132

 
 
Wells Fargo Mortgage Backed Securities 2004/K Due 07/25/2034*
 
Corporate Bond 26,624 units
 
27,071

 
 
Arch Capital Group Ltd. 4.011% Due 12/15/2026
 
Corporate Bond 27,000 units
 
26,961

 
 
The Walt Disney Company 4.125% Due 06/01/2044
 
Corporate Bond 27,000 units
 
26,744

 
 
Range Resources Corporation 5.0% 03/15/2023
 
Corporate Bond 30,000 units
 
26,400

 
 
American Express Company 3.625% Due 12/05/2024
 
Corporate Bond 27,000 units
 
26,395

 
 
Discovery 6.35% Due 06-01-2040
 
Corporate Bond 25,000 units
 
26,194

 
 
Crown Castle International Corporation 5.25% Due 01/15/2023
 
Corporate Bond 25,000 units
 
25,961

 
 
Telefonica Emisiones S A U 5.462 Due 02/16/2021
 
Corporate Bond 25,000 units
 
25,909

 
 
Ford Motor Company 4.346% Due 12/08/2026
 
Corporate Bond 29,000 units
 
25,833

 
 
Energy Transfer Partners LP 6.625% Due 10/15/2036
 
Corporate Bond 25,000 units
 
25,672

 

44



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
National Rural Utilities Cooperative Finance Corporation 3.9% Due 11/01/2028
 
Corporate Bond 25,000 units
 
25,624

 
 
Natural Rural Utilities 2.95% Due 02/07/2024
 
Corporate Bond 26,000 units
 
25,585

 
 
DXC Technology Company 4.25% Due 04/15/2024
 
Corporate Bond 26,000 units
 
25,583

 
 
United States Treasury Notes Dated 11/15/2014 2.25% Due 11/15/2024
 
Government Bond 26,000 units
 
25,552

 
 
The Charles Schwab Corporation 4.45% Due 07/22/2020
 
Corporate Bond 25,000 units
 
25,550

 
 
Plains All American Pipeline LP 3.65% Due 06/01/2022
 
Corporate Bond 26,000 units
 
25,525

 
 
American Express Company 4.2% Due 11/06/2025
 
Corporate Bond 25,000 units
 
25,485

 
 
American Airlines 3.65% Due 08/15/2030
 
Corporate Bond 25,865 units
 
25,448

 
 
Comcast Corporation 3.95% 10/15/2025
 
Corporate Bond 25,000 units
 
25,296

 
 
Athene Global Funding 4.0% Due 01/25/2022
 
Corporate Bond 25,000 units
 
25,256

 
 
AGL Capital Corporation 5.25% Due 08/15/2019
 
Corporate Bond 25,000 units
 
25,233

 
 
Nordstrom, Inc. 4% Due 10/15/2021
 
Corporate Bond 25,000 units
 
25,170

 
 
Westlake Chemical Corporation 4.375% Due 11/15/2047
 
Corporate Bond 30,000 units
 
25,140

 
 
DBUBS Mortgage Trust Pass-Through Income Only Series 2011/LC2 Class X/A Due 07/10/2044
 
Corporate Bond 1,252,236 units
 
25,035

 
 
National Retail Properties, Inc. 3.9% Due 06/15/2024
 
Corporate Bond 25,000 units
 
25,013

 
 
Ecolab Inc. 3.25% Due 01/14/2023
 
Corporate Bond 25,000 units
 
24,903

 
 
UDR, Inc. 2.95% Due 09/01/2026
 
Corporate Bond 27,000 units
 
24,888

 
 
PPL Electric Utilities Corporation 4.125% Due 06/15/2044
 
Corporate Bond 25,000 units
 
24,808

 
 
Harris Corporation 4.854% Due 04/27/2035
 
Corporate Bond 25,000 units
 
24,803

 
 
CNA Financial Corporation 3.95% Due 05/15/2024
 
Corporate Bond 25,000 units
 
24,768

 
 
Husky Energy Inc. 4% Due 04/15/2024
 
Corporate Bond 25,000 units
 
24,741

 
 
Simon Property Group L 2.5% Due 09/01/2020
 
Corporate Bond 25,000 units
 
24,730

 
 
Microsoft Corporation 2.375% Due 02/12/2022
 
Corporate Bond 25,000 units
 
24,697

 
 
Rockwell Collins Inc. 4.8% Due 12/15/2043
 
Corporate Bond 25,000 units
 
24,627

 
 
Starbucks Corporation 3.1% 03/01/2023
 
Corporate Bond 25,000 units
 
24,624

 
 
Penske Truck Leasing Company LP/Ptl 3.95%03/10/2025
 
Corporate Bond 25,000 units
 
24,491

 
 
Occidental Petroleum Corporation 3.4% Due 04/15/2026
 
Corporate Bond 25,000 units
 
24,460

 
 
Orix Corporation 2.9% Due 07/18/2022*
 
Corporate Bond 25,000 units
 
24,427

 
 
Anthem Inc. 3.35% Due 12/01/2024
 
Corporate Bond 25,000 units
 
24,355

 
 
Fannie Mae REMIC Trust 1997/89 7% Due 12/20/2027
 
Government Bond 142,182 units
 
24,328

 
 
Natural Rural Utilities 2.4% Due 04/25/2022
 
Corporate Bond 25,000 units
 
24,328

 
 
Kansas City Power & Light Company 4.2% 03/15/2048
 
Corporate Bond 25,000 units
 
24,247

 
 
Lowes Companies, Inc. 3.125% Due 09/15/2024
 
Corporate Bond 25,000 units
 
24,212

 
 
Express Scripts 3.05% Due 11/30/2022
 
Corporate Bond 25,000 units
 
24,195

 
 
Apple Inc. 4.5% Due 02/23/2036
 
Corporate Bond 23,000 units
 
24,187

 
 
Canadian Pacific Railway Company 2.9% Due 02/01/2025
 
Corporate Bond 25,000 units
 
23,938

 
 
Comcast Corporation 3.15% Due 03/01/2026
 
Corporate Bond 25,000 units
 
23,920

 

45



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
O'Reilly Automotive Inc. 3.6% Due 09/01/2027
 
Corporate Bond 25,000 units
 
23,819

 
 
Plains All American Pipeline LP 3.6% Due 11/01/2024
 
Corporate Bond 25,000 units
 
23,792

 
 
Reliance Standard Tranche 5 3.05% Due 01/20/2021
 
Corporate Bond 24,000 units
 
23,781

 
 
Xylem Inc 3.25% Due 11/01/2026
 
Corporate Bond 25,000 units
 
23,757

 
 
Banc of America Funding Corporation Series 2005/E Class 4/A/1 Due 03/20/2035*
 
Corporate Bond 23,609 units
 
23,712

 
 
GAIF Bond Issuer PTY Limited 3.4% Due 09/30/2026
 
Corporate Bond 25,000 units
 
23,607

 
 
Brookfield Finance Inc. 3.9% Due 01/25/2028
 
Corporate Bond 25,000 units
 
23,600

 
 
Ginnie Mae 2006/26 REMIC 0% Due 06/20/2036
 
Government Bond 27,454 units
 
23,508

 
 
Sysco Corporation 3.25% Due 07/15/2027
 
Corporate Bond 25,000 units
 
23,448

 
 
Marathon Petroleum Corporation 3.625% Due 09/15/2024
 
Corporate Bond 24,000 units
 
23,353

 
 
Ginnie Mae 2009/016 REMIC Pass-Through Floating Rate Due 05/20/2037
 
Government Bond 188,717 units
 
23,283

 
 
Dr Pepper Snapple Group Inc. 2.55% Due 09/15/2026
 
Corporate Bond 27,000 units
 
23,220

 
 
Autonation Inc. 3.5% Due 11/15/2024
 
Corporate Bond 25,000 units
 
23,129

 
 
Wells Fargo & Company 4.75% Due 12/07/2046*
 
Corporate Bond 24,000 units
 
23,108

 
 
Norfolk Southern 3.95 Due 10/01/2042
 
Corporate Bond 25,000 units
 
22,923

 
 
J.P. Morgan Mortgage Trust Series 2004/S1 5.5% Due 09/25/2034*
 
Corporate Bond 22,998 units
 
22,901

 
 
Fortis Inc. 3.055% Due 10/04/2026
 
Corporate Bond 25,000 units
 
22,822

 
 
AmeriCredit Automobile Receivables Class C 2.71% Due 08/18/2022
 
Corporate Bond 23,000 units
 
22,787

 
 
Johnson Controls International PLC 3.9% Due 02/14/2026
 
Corporate Bond 23,000 units
 
22,556

 
 
Jackson National Life Funding LLC 3.25% Due 01/30/2024
 
Corporate Bond 23,000 units
 
22,552

 
 
Energy Transfer 4.05% Due 03/15/2025
 
Corporate Bond 24,000 units
 
22,525

 
 
Federal Home Loan Mortgage Corporation Pool #1J1818 5.891% Due 08/1/2037
 
Government Bond 21,387 units
 
22,465

 
 
Liberty Properties Ltd. 3.25% Due 10/01/2026
 
Corporate Bond 24,000 units
 
22,411

 
 
Toyota Auto 1.3% Due 04/15/2020
 
Corporate Bond 22,528 units
 
22,406

 
 
The Sherwin-Williams Company 3.45% Due 06/01/2027
 
Corporate Bond 24,000 units
 
22,372

 
 
Realty Income Corporation 3% Due 01/15/2027
 
Corporate Bond 24,000 units
 
22,314

 
 
Dow Chemical Company 3% Due 11/15/2022
 
Corporate Bond 23,000 units
 
22,310

 
 
BCC Funding XIII LLC 2.2% Due 12/20/2021
 
Corporate Bond 22,300 units
 
22,208

 
 
Public Service Company of New Hampshire 3.5% Due 11/01/2023
 
Corporate Bond 22,000 units
 
22,189

 
 
Air Lease Corporation 3.625% Due 12/01/2027
 
Corporate Bond 25,000 units
 
22,083

 
 
Microsoft Corporation 3.5% Due 02/12/2035
 
Corporate Bond 23,000 units
 
21,951

 
 
Washington Mutual Variable Rate Pass-Through Due 09/25/2033
 
Corporate Bond 21,484 units
 
21,943

 
 
American Honda Finance Corporation 2.3% Due 09/09/2026
 
Corporate Bond 24,000 units
 
21,869

 
 
DTE Energy Company 3.3% Due 06/15/2022
 
Corporate Bond 22,000 units
 
21,831

 
 
Sprint Capital Corporation 6.875% Due 11/15/2028
 
Corporate Bond 23,000 units
 
21,735

 
 
MPLX LP 4.7% 04/15/2048
 
Corporate Bond 25,000 units
 
21,713

 

46



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Transocean Proteus 6.25% Due 12/01/2024
 
Corporate Bond 22,400 units
 
21,448

 
 
Arrow Electronics Inc. 4% Due 04/01/2025
 
Corporate Bond 22,000 units
 
21,429

 
 
Tyson Foods Inc. 2.25% Due 08/23/2021
 
Corporate Bond 22,000 units
 
21,305

 
 
Boston Properties Limited Partnership 3.65% Due 02/01/2026
 
Corporate Bond 22,000 units
 
21,289

 
 
Johnson Controls International 4.5% Due 02/15/2047
 
Corporate Bond 23,000 units
 
21,280

 
 
Equity One ABS, Inc. 5.05% Due 09/25/2033
 
Corporate Bond 20,806 units
 
21,026

 
 
CHS Community Health Systems Inc. Senior Secured Note 8.625% 01/15/2024
 
Corporate Bond 21,000 units
 
20,738

 
 
Mitsubishi UFJ Financial Group Inc. 2.998% Due 02/22/2022
 
Corporate Bond 21,000 units
 
20,706

 
 
CMS Energy Corporation 3% Due 05/15/2026
 
Corporate Bond 22,000 units
 
20,687

 
 
American Express Credit Corporation 2.25% Due 05/05/2021
 
Corporate Bond 21,000 units
 
20,550

 
 
PNC Funding Corporation 5.125% Due 02/08/2020
 
Corporate Bond 20,000 units
 
20,423

 
 
Kroger Company 4% Due 02/01/2024
 
Corporate Bond 20,000 units
 
20,169

 
 
Conagra Brands Inc. 4.6% 11/01/2025
 
Corporate Bond 20,000 units
 
20,063

 
 
Arrow Electronics Inc. 3.875% Due 01/12/2028
 
Corporate Bond 22,000 units
 
20,040

 
 
Federal Home Loan Mortgage Corporation Multiclass Preassign 00121 0% Due 07/15/2036
 
Government Bond 22,989 units
 
19,993

 
 
FedEx Corporation 3.25% Due 04/01/2026
 
Corporate Bond 21,000 units
 
19,935

 
 
FedEx Corporation 3.9% Due 02/01/2035
 
Corporate Bond 22,000 units
 
19,918

 
 
Huntington Bancshares Incorporated 3.15% Due 03/14/2021
 
Corporate Bond 20,000 units
 
19,911

 
 
Ginnie Mae 2007/058 REMIC Pass-Through Floating Rate Due 10/20/2037
 
Government Bond 180,953 units
 
19,899

 
 
United Technologies Corporation 3.95% 08/16/2025
 
Corporate Bond 20,000 units
 
19,845

 
 
Wi Energy Corporation 3.55% Due 06/15/2025
 
Corporate Bond 20,000 units
 
19,794

 
 
AGL Capital Corporation 3.25% Due 06/15/2026
 
Corporate Bond 21,000 units
 
19,637

 
 
Gilead Sciences, Inc. 3.65% Due 03/01/2026
 
Corporate Bond 20,000 units
 
19,604

 
 
Anthem Inc. 4.101% 03/01/2028
 
Corporate Bond 20,000 units
 
19,603

 
 
General Mills Inc. 4.2% Due 04/17/2028
 
Corporate Bond 20,000 units
 
19,598

 
 
Fannie Mae REMIC Trust Pass-Through Variable Rate Due 01/25/2040
 
Government Bond 154,599 units
 
19,592

 
 
UnitedHealth Group, Inc. 2.75% Due 02/15/2023
 
Corporate Bond 20,000 units
 
19,570

 
 
United States Treasury Bond Inflation Index 3.875% Due 04/15/2029
 
Government Bond 10,000 units
 
19,566

 
 
Johnson Controls International PLC Senior Note Step Up Due 07/02/2064
 
Corporate Bond 21,000 units
 
19,518

 
 
United States Treasury Notes 1.875% 06/30/2024
 
Government Bond 20,000 units
 
19,448

 
 
Williams Partners LP 3.9% Due 01/15/2025
 
Corporate Bond 20,000 units
 
19,431

 
 
General Motors Company 6.75% Due 04/01/2046
 
Corporate Bond 20,000 units
 
19,362

 
 
Phillips 66 3.9% Due 03/15/2028
 
Corporate Bond 20,000 units
 
19,320

 
 
Brookfield Financial Inc. 4.7% Due 09/20/2047
 
Corporate Bond 21,000 units
 
19,310

 
 
First Data Corporation 5% Due 01/15/2024
 
Corporate Bond 20,000 units
 
19,250

 
 
Walgreens Boots Alliance, Inc. 4.5% Due 11/18/2034
 
Corporate Bond 20,000 units
 
19,181

 
 
PacifiCorp 3.6% Due 04/01/2024
 
Corporate Bond 19,000 units
 
19,180

 
 
McDonalds Corporation 4.45% Due 03/01/2047
 
Corporate Bond 20,000 units
 
19,122

 

47



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Roper Technologies, Inc. 3% Due 12/15/2020
 
Corporate Bond 19,000 units
 
18,877

 
 
Air Canada 2013/1 Pass Thru 4.125 Due 11/15/2026
 
Corporate Bond 19,038 units
 
18,865

 
 
The Home Depot, Inc. 2.625% Due 06/01/2022
 
Corporate Bond 19,000 units
 
18,801

 
 
General Motors Financial Company, Inc. 4% Due 01/15/2025
 
Corporate Bond 20,000 units
 
18,708

 
 
Baltimore Gas and Electric Company 3.5% Due 08/15/2046
 
Corporate Bond 21,000 units
 
18,636

 
 
Marsh & McLennan Companies, Inc. 2.75% Due 01/30/2022
 
Corporate Bond 19,000 units
 
18,623

 
 
Sysco Corporation 3.75% Due 10/01/2025
 
Corporate Bond 19,000 units
 
18,527

 
 
Sumitomo Mitsui 2.442% Due 10/19/2021
 
Corporate Bond 19,000 units
 
18,526

 
 
Tennessee Valley Authority Global Power Bond Series A 4.625% Due 09/15/2060
 
Government Bond 15,000 units
 
18,192

 
 
Deutsche Bank AG 3.7% Due 5/30/2024
 
Corporate Bond 20,000 units
 
18,168

 
 
Fannie Mae REMIC Trust 2001/38 Principal Only Due 08/25/2031
 
Government Bond 19,848 units
 
18,168

 
 
Cisco Systems, Inc. 2.9% Due 03/04/2021
 
Corporate Bond 18,000 units
 
18,031

 
 
Ginnie Mae REMIC Series 2008/073 Floating Rate Due 08/20/2038
 
Government Bond 148,340 units
 
18,006

 
 
Mead Johnson Company 3% Due 11/15/2020
 
Corporate Bond 18,000 units
 
17,947

 
 
Enterprise Products Operating LLC 3.7% Due 02/15/2026
 
Corporate Bond 18,000 units
 
17,735

 
 
Exelon Generation Company LLC 3.4% Due 03/15/2022
 
Corporate Bond 18,000 units
 
17,716

 
 
Mead Johnson Company 4.6% Due 06/01/2044
 
Corporate Bond 17,000 units
 
17,445

 
 
Walgreens Boots Alliance, Inc. 3.45% Due 06/01/2026
 
Corporate Bond 18,000 units
 
16,936

 
 
ACE INA Holdings Inc. 2.875% Due 11/03/2022
 
Corporate Bond 17,000 units
 
16,856

 
 
Ginnie Mae 2009/072 REMIC Pass-Through Floating Rate Due 08/16/2039
 
Government Bond 134,314 units
 
16,756

 
 
Ginnie Mae Floating 2004/86 REMIC Pass-Through Due Floating Rate 09/20/2034
 
Government Bond 164,907 units
 
16,379

 
 
Martin Marietta 4.25% Due 12/15/2047
 
Corporate Bond 20,000 units
 
16,370

 
 
Consolidated Edison Inc. 2.0% Due 03/15/2020
 
Corporate Bond 16,000 units
 
15,787

 
 
Ginnie Mae REMIC Series 2007/16 Floating Rate Due 04/20/2037
 
Government Bond 142,323 units
 
15,771

 
 
Fannie Mae Pool #550387 6.45% Due 08/01/2030
 
Government Bond 15,671 units
 
15,681

 
 
Thermo Fisher Corporation 3% Due 04/15/2023
 
Corporate Bond 16,000 units
 
15,566

 
 
Energy Transfer 4.75% Due 01/15/2026
 
Corporate Bond 16,000 units
 
15,547

 
 
Exelon Generation Company LLC 4.25% Due 06/15/2022
 
Corporate Bond 15,000 units
 
15,206

 
 
Fannie Mae REMIC Trust 2008/91 Floating Rate Due 03/25/2038
 
Government Bond 136,381 units
 
15,134

 
 
Marsh & McLennan Companies, Inc. 2.35% Due 09/10/2019
 
Corporate Bond 15,000 units
 
14,921

 
 
Connecticut Light & Power Company 4.0% 04/01/2048
 
Corporate Bond 15,000 units
 
14,807

 
 
Sysco Corporation 3.55% Due 03/15/2025
 
Corporate Bond 15,000 units
 
14,771

 
 
Bank of New York Mellon Corporation 3.442% Due 02/07/2028 & 02/07/2027
 
Corporate Bond 15,000 units
 
14,636

 
 
ERP Operating Limited 3.5% Due 03/01/2028
 
Corporate Bond 15,000 units
 
14,584

 

48



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Fannie Mae Series 390 Variable Rate Due 06/25/2038
 
Government Bond 76,569 units
 
14,576

 
 
Centerpoint Energy 3.95% 03/01/2048
 
Corporate Bond 15,000 units
 
14,574

 
 
Ginnie Mae 2008/087 REMIC Pass-Through 6.5% Due 10/20/2038
 
Government Bond 83,043 units
 
14,463

 
 
Burlington Northern and Santa Fe Railway Company 3.75% Due 04/01/2024
 
Corporate Bond 14,000 units
 
14,310

 
 
Citigroup Mortgage Loan Trust 2003/1 5.25% Due 09/25/2033
 
Corporate Bond 14,374 units
 
14,244

 
 
Mosaic Company Fixed 4.05% Due 11/15/2027
 
Corporate Bond 15,000 units
 
14,226

 
 
General Motors Financial Company, Inc. Fixed 4.35% Due 04/09/2025
 
Corporate Bond 15,000 units
 
14,212

 
 
Athene Holding Limited 4.125% Due 01/12/2028
 
Corporate Bond 15,000 units
 
13,625

 
 
Fannie Mae REMIC Trust 2006/20 Variable Rate Due 04/25/2036
 
Government Bond 82,273 units
 
13,419

 
 
Federal Home Loan Mortgage Corporation Pool #G02809 3.5% Due 05/01/2036
 
Government Bond 11,888 units
 
13,274

 
 
Ginnie Mae REMIC Series 2006/26 Due 06/20/2036
 
Government Bond 97,936 units
 
13,272

 
 
Federal Home Loan Mortgage Corporation Multiclass Floating Rate Due 10/15/2040
 
Government Bond 95,355 units
 
13,217

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3117 Principal Only Due 02/15/2036
 
Government Bond 15,335 units
 
13,140

 
 
Target Corporation 3.5% Due 07/01/2024
 
Corporate Bond 13,000 units
 
13,087

 
 
Ginnie Mae 2008/091 REMIC Pass-Through 6.5% Due 11/20/2038
 
Government Bond 76,608 units
 
12,993

 
 
Teva 3.15% Due 10/01/2026
 
Corporate Bond 17,000 units
 
12,975

 
 
Citigroup Inc. 5.3% Due 05/06/2044
 
Corporate Bond 13,000 units
 
12,956

 
 
Anheuser-Busch Inc. 4.439% Due 10/06/2048
 
Corporate Bond 15,000 units
 
12,953

 
 
Thermo Fisher Corporation 3.15% Due 01/15/2023
 
Corporate Bond 13,000 units
 
12,740

 
 
Central Garden & Pet 5.125% 02/01/2028
 
Corporate Bond 14,000 units
 
12,530

 
 
Fannie Mae REMIC Pass-Through Trust 2009/112 Floating Rate Due 01/25/2040
 
Government Bond 101,673 units
 
12,433

 
 
Southern Company Gas Capital Corporation 2.45% Due 10/01/2023
 
Corporate Bond 13,000 units
 
12,391

 
 
United States Treasury Bonds Dated 02/15/2006 4.5% Due 02/15/2036
 
Government Bond 10,000 units
 
12,326

 
 
Fannie Mae Series 331 Variable Rate Due 02/01/2033
 
Government Bond 66,428 units
 
12,319

 
 
Thermo Fisher Scientific Inc. 4.15% Due 02/01/2024
 
Corporate Bond 12,000 units
 
12,156

 
 
Dominion Gas Holdings, LLC 2.8% Due 11/15/2020
 
Corporate Bond 12,000 units
 
11,822

 
 
Federal Home Loan Mortgage Corporation Multiclass Preassign 00890 Due 04/15/2036
 
Government Bond 13,428 units
 
11,771

 
 
Dr Pepper Snapple Group Inc. 2.53% Due 11/15/2021
 
Corporate Bond 12,000 units
 
11,610

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3117 Due 02/15/2036
 
Government Bond 13,323 units
 
11,359

 
 
Kellogg Company 3.4% Due 11/15/2027
 
Corporate Bond 12,000 units
 
11,176

 
 
Gilead Sciences, Inc. 4.6% Due 09/01/2035
 
Corporate Bond 11,000 units
 
11,106

 
 
Duke Realty Limited Partnership 3.625% Due 04/15/2023
 
Corporate Bond 11,000 units
 
10,992

 

49



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Virginia Electric & Power Company 3.45% Due 02/15/2024
 
Corporate Bond 11,000 units
 
10,988

 
 
Statoil ASA 3.15% Due 01/23/2022
 
Corporate Bond 11,000 units
 
10,971

 
 
Arizona Public Service Company 2.2% Due 01/15/2020
 
Corporate Bond 11,000 units
 
10,947

 
 
American Water Capital Corporation 3.4% Due 03/01/2025
 
Corporate Bond 11,000 units
 
10,868

 
 
PHH Mortgage Trust Series 6% Due 07/25/2038
 
Corporate Bond 10,518 units
 
10,469

 
 
Fannie Mae REMIC Trust 2010/35 Variable Rate Due 04/25/2040
 
Government Bond 80,891 units
 
10,422

 
 
Federal Home Loan Mortgage Corporation Variable Rate 08/25/2023
 
Government Bond 10,000 units
 
10,201

 
 
Ginnie Mae REMIC Series 2008/79 Floating Rate Due 09/20/2038
 
Government Bond 73,992 units
 
10,152

 
 
CBS Corporation 4.9% Due 08/15/2044
 
Corporate Bond 11,000 units
 
10,039

 
 
Sprint Corporation 7.125% Due 06/15/2024
 
Corporate Bond 10,000 units
 
9,903

 
 
Federal Home Loan Mortgage Corporation Multiclass 0% Due 11/15/2037
 
Government Bond 10,079 units
 
9,756

 
 
Federal Home Loan Mortgage Corporation Series 3218 Floating Rate Due 09/15/2026
 
Government Bond 89,755 units
 
9,752

 
 
Ginnie Mae 2009/106 Floating Rate Due 06/20/2037
 
Government Bond 120,547 units
 
9,739

 
 
National Retail Properties, Inc. 3.6% Due 12/15/2026
 
Corporate Bond 10,000 units
 
9,616

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 2611 Floating Rate Due 05/15/2033
 
Government Bond 7,877 units
 
9,553

 
 
Digital Realty Trust LP 3.7% Due 08/15/2027
 
Corporate Bond 10,000 units
 
9,438

 
 
Federal Home Loan Mortgage Corporation Pool #1G3623 Adjustable Rate Due 05/1/2037
 
Government Bond 9,060 units
 
9,377

 
 
Freddie Mac Series 2643 Floating Rate Due 03/15/2032
 
Government Bond 5,109 units
 
8,997

 
 
Microsoft Corporation 2.375% Due 05/01/2023
 
Corporate Bond 9,000 units
 
8,807

 
 
United States Treasury Notes Dated 11/15/2015 2.25% Due 11/15/2025
 
Government Bond 9,000 units
 
8,801

 
 
Becton Dickinson & Company 3.734% Due 12/15/2024
 
Corporate Bond 9,000 units
 
8,694

 
 
Fannie Mae Floating Rate Series 2007/88 Due 09/25/2037
 
Government Bond 50,245 units
 
8,677

 
 
CarFinance Capital Auto Trust 2014/2 Class B 2.64% Due 11/16/2020
 
Corporate Bond 8,678 units
 
8,675

 
 
Fannie Mae Preassign 00869 Variable Rate Due 12/25/2032
 
Government Bond 7,323 units
 
8,466

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3171 Principal Only Due 06/15/2036
 
Government Bond 9,148 units
 
8,186

 
 
Williams Partners Fixed 4.85% Due 03/01/2048
 
Corporate Bond 9,000 units
 
8,167

 
 
Prologis LP 3.75% Due 11/01/2025
 
Corporate Bond 8,000 units
 
8,040

 
 
Zimmer Biomet 3.7% Due 03/19/2023
 
Corporate Bond 8,000 units
 
7,915

 
 
Fannie Mae Pool #889745 5.5% Due 06/1/2036
 
Government Bond 7,236 units
 
7,793

 
 
CBS Corporation 4% Due 01/15/2026
 
Corporate Bond 8,000 units
 
7,751

 
 
Federal Home Loan Mortgage Corporation Series 3306 Floating Rate Due 04/15/2037
 
Government Bond 7,141 units
 
7,593

 
 
Bayer US Finance II LLC 4.7% 07/15/2064
 
Corporate Bond 9,000 units
 
7,412

 

50



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Ginnie Mae 2010/014 REMIC Pass-Through Principal Only Due 12/20/2032
 
Government Bond 7,441 units
 
7,225

 
 
Enterprise Products Company 4.95% Due 10/15/2054
 
Corporate Bond 7,000 units
 
6,803

 
 
Federal Home Loan Mortgage Corporation Multiclass Floating Rate Due 04/15/2037
 
Government Bond 6,176 units
 
6,470

 
 
Federal Home Loan Mortgage Corporation Pool #A39803 5.5% Due 11/01/2035
 
Government Bond 6,027 units
 
6,407

 
 
Federal Home Loan Mortgage Corporation Series 3507 5% Due 03/15/2036
 
Government Bond 5,767 units
 
5,773

 
 
Fannie Mae Pool #576557 6.5% Due 06/01/2019
 
Government Bond 5,364 units
 
5,761

 
 
Fannie Mae Pool #745948 6.5% Due 10/01/2036
 
Government Bond 4,994 units
 
5,641

 
 
Federal Home Loan Mortgage Corporation Pool #G13390 6% Due 01/01/2024
 
Government Bond 5,369 units
 
5,554

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3784 Floating Rate Due 07/15/2023
 
Government Bond 86,994 units
 
5,514

 
 
Banc America Alternative Loan Trust 2004/6 5% Due 07/25/2019*
 
Corporate Bond 5,442 units
 
5,449

 
 
Ginnie Mae 2004/30 5.5% Due 02/20/2034
 
Government Bond 5,301 units
 
5,303

 
 
Cargill Inc. Note 3.25% 03/01/2023
 
Corporate Bond 5,000 units
 
4,992

 
 
Federal Home Loan Mortgage Corporation Series 3201 Floating Rate Due 08/15/2036
 
Government Bond 53,023 units
 
4,850

 
 
CME IRS 3.08%/R 3M Libor 11/21/2024
 
Exchange Cleared Swap 3,115,000 units
 
4,848

 
 
Fannie Mae Pool #889213 5.5% Due 10/01/2020
 
Government Bond 4,745 units
 
4,777

 
 
Fannie Mae Preassign 00470 7% Due 06/25/2033
 
Government Bond 19,978 units
 
4,767

 
 
Morgan Stanley Mortgage Loan Trust 2004/2AR 5% Due 09/25/2034
 
Corporate Bond 4,622 units
 
4,623

 
 
Fannie Mae REMIC Trust 1997/30 8% Due 05/18/2027
 
Government Bond 28,200 units
 
4,432

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3825 Class AP 4% 03/15/2039
 
Government Bond 3,957 units
 
3,958

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 2934 Principal Only Due 02/15/2020
 
Government Bond 3,516 units
 
3,463

 
 
Americredit 1.6% Due 11/09/2020
 
Corporate Bond 3,453 units
 
3,451

 
 
Fannie Mae Pool #852523 5.5% Due 02/1/2036
 
Government Bond 2,993 units
 
3,219

 
 
Ginnie Mae 2007/059 REMIC Pass-Through Due 04/20/2037
 
Government Bond 71,986 units
 
3,144

 
 
Fannie Mae REMIC Trust 1993/G17 Variable Rate Due 04/25/2023
 
Government Bond 28,253 units
 
2,798

 
 
Federal Home Loan Mortgage Corporation Pool #1J1574 5.697% Due 04/1/2037
 
Government Bond 2,620 units
 
2,759

 
 
Nutrien Limited Fixed 4.125% Due 03/15/2035
 
Corporate Bond 3,000 units
 
2,731

 
 
Ginnie Mae 2002/41 REMIC Trust Floating Rate Due 06/16/2032
 
Government Bond 122,414 units
 
2,525

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 3593 Floating Rate Due 11/15/2024
 
Government Bond 45,859 units
 
2,461

 
 
Residential Accredit Loans, Inc. Pass-Through Trust Series 2004/QS3 5% Due 03/25/2019
 
Corporate Bond 2,332 units
 
2,324

 
 
Prime Mortgage Trust 2004/2 Pass-Through 4.75% Due 11/25/2019
 
Corporate Bond 2,231 units
 
2,215

 
 
Fannie Mae REMIC Series 2008/80 5.60825% Due 09/25/2038
 
Government Bond 18,928 units
 
2,015

 

51



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Federal Home Loan Mortgage Corporation Multiclass Series 3219 6% Due 04/15/2036
 
Government Bond 8,836 units
 
1,824

 
 
Fannie Mae Preassign 00464 Due 01/25/2036
 
Government Bond 1,797 units
 
1,746

 
 
Indymac Mortgage Backed Securities, Inc. 4.75% Due 02/25/2019
 
Corporate Bond 1,862 units
 
1,645

 
 
Bear Stearns Asset Backed Securities Trust Adjustable Rate Due 12/25/2033
 
Corporate Bond 1,603 units
 
1,593

 
 
Morgan Stanley Trust 2012/IO REMIC Pass-Through 1% Due 03/27/2051
 
Corporate Bond 1,487 units
 
1,488

 
 
Federal Home Loan Mortgage Corporation Multiclass Preassign 00482 6.5% Due 03/15/2033
 
Government Bond 6,459 units
 
1,468

 
 
Ginnie Mae 2008/071 REMIC Pass-Through Floating Rate Due 08/20/2038
 
Government Bond 16,493 units
 
1,425

 
 
Fannie Mae REMIC Trust 2008/53 Variable Rate Due 07/25/2038
 
Government Bond 9,851 units
 
1,409

 
 
GMAC Mortgage Loan Trust 2003/J10 4.75% Due 01/25/2019
 
Corporate Bond 1,396 units
 
1,395

 
 
Ginnie Mae 2010/001 REMIC Pass-Through Floating Rate Due 08/16/2039
 
Government Bond 56,918 units
 
1,335

 
 
Morgan Stanley Capital I Trust Due 02/12/2044
 
Corporate Bond 176,781 units
 
1,089

 
 
Master Asset Security Trust 2004/6 5.25% Due 07/25/2019
 
Corporate Bond 951 units
 
948

 
 
Fannie Mae REMIC Trust 390 6% Due 07/25/2023
 
Government Bond 15,522 units
 
946

 
 
Kaupthing Bank HF 02/28/2020 In Default
 
Corporate Bond 310,000 units
 
775

 
 
Ginnie Mae 2006/023 REMIC Floating Rate Due 01/20/2036
 
Government Bond 49,230 units
 
730

 
 
Fannie Mae Pool #735439 6% Due 09/01/2019
 
Government Bond 451 units
 
452

 
 
Fannie Mae REMIC Trust 2009/15 Variable Rate Due 03/25/2024
 
Government Bond 18,891 units
 
430

 
 
Federal Home Loan Mortgage Corporation Multiclass Preassign 00603 5% Due 02/15/2020
 
Government Bond 21,798 units
 
426

 
 
Fannie Mae REMIC Series 2008/75 4.5% Due 09/25/2023
 
Government Bond 222 units
 
221

 
 
Americredit 1.81% Due 10/08/2020
 
Corporate Bond 188 units
 
188

 
 
Fannie Mae REMIC Series 2009/9 5% Due 02/25/2024
 
Government Bond 4,207 units
 
108

 
 
Fannie Mae Series 2009/18 5% Due 03/25/2024
 
Government Bond 3,176 units
 
76

 
 
Federal Home Loan Mortgage Corporation Multiclass Series 12/K708 Floating Rate Due 01/25/2019
 
Government Bond 556,582 units
 
6

 
Total Fixed Income Asset Class
 
 
 
 
283,215,341

 
 
 
 
 
 
 
Fixed Income Index Asset Class:
 
 
 
 
 
 
NT Collective Aggregate Bond Index Fund / Non Lending*
 
Collective Trust Fund 1,001,853 units
 
140,740,345

 
Total Fixed Income Index Asset Class
 
 
 
 
140,740,345

 
 
 
 
 
 
 
High Yield Asset Class:
 
 
 
 
 
 
Mackay Shields High Yield Bond CIT (Fund Code-2196)*
 
Collective Trust Fund 6,098,630 units
 
63,120,823

 
 
Blackrock Funds V High Yield Bond Portfolio Class K
 
Mutual Fund 8,651,249 units
 
61,769,918

 
 
Exide Technologies 0% Due 12/31/2049
 
Corporate Bond 182,991 units
 
100,645

 
 
Exide Technologies 11.0% Due 04/30/2022
 
Corporate Bond 8,475 units
 
6,780

 

52



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Exide Technologies
 
Common and Preferred Stock 4,055 shares
 
3,326

 
Total High Yield Asset Class
 
 
 
 
125,001,492

 
 
 
 
 
 
 
Inflation Protection Asset Class:
 
 
 
 
 
 
NT Collective Treasury Inflation/Protected Securities Index Fund / Non Lending*
 
Collective Trust Fund 699,542 units
 
97,740,043

 
Total Inflation Protection Asset Class
 
 
 
 
97,740,043

 
 
 
 
 
 
 
International Growth Asset Class:
 
 
 
 
 
 
Artisan International Fund*
 
Collective Trust Fund 2,590,849 units
 
55,081,440

 
 
MFS Institutional International Equity Fund
 
Mutual Fund 2,427,355 units
 
54,348,487

 
 
NT Collective EAFE Index Fund / Non Lending*
 
Collective Trust Fund 55,386 units
 
15,639,189

 
Total International Growth Asset Class
 
 
 
 
125,069,116

 
 
 
 
 
 
 
International Index Asset Class:
 
 
 
 
 
 
NT Collective All Country World Index Ex/US Fund / Non Lending*
 
Collective Trust Fund 2,069,166 units
 
283,517,086

 
Total International Index Asset Class
 
 
 
 
283,517,086

 
 
 
 
 
 
 
International Value Asset Class:
 
 
 
 
 
 
Altrinsic International Equity Fund Class C*
 
Collective Trust Fund 5,950,020 units
 
64,720,744

 
 
Dodge & Cox International Fund
 
Mutual Fund 1,713,473 units
 
63,244,274

 
Total International Value Asset Class
 
 
 
 
127,965,018

 
 
 
 
 
 
 
Large Cap Growth Asset Class:
 
 
 
 
 
 
NT Collective Russell 1000 Growth Index Fund / Non Lending*
 
Collective Trust Fund 63,913 units
 
25,931,165

 
 
Amazon Inc.
 
Common and Preferred Stock 15,095 shares
 
22,672,237

 
 
Visa Inc. Class A
 
Common and Preferred Stock 171,058 shares
 
22,569,393

 
 
salesforce.com, inc.
 
Common and Preferred Stock 105,640 shares
 
14,469,511

 
 
Alphabet Inc. Class A
 
Common and Preferred Stock 12,849 shares
 
13,426,691

 
 
ServiceNow, Inc.
 
Common and Preferred Stock 68,134 shares
 
12,131,259

 
 
Microsoft Corporation
 
Common and Preferred Stock 116,025 shares
 
11,784,659

 
 
Netflix, Inc.
 
Common and Preferred Stock 39,492 shares
 
10,570,429

 
 
Alibaba Group Holding Limited
 
Common and Preferred Stock 66,900 shares
 
9,169,983

 
 
Regeneron Pharmaceuticals, Inc.
 
Common and Preferred Stock 24,094 shares
 
8,999,109

 
 
Nike, Inc. Class B
 
Common and Preferred Stock 107,872 shares
 
7,997,630

 
 
Abbott Lab
 
Common and Preferred Stock 108,126 shares
 
7,820,754

 
 
Yum! Brands Inc.
 
Common and Preferred Stock 80,955 shares
 
7,441,384

 
 
Alphabet Inc. Class C
 
Common and Preferred Stock 7,030 shares
 
7,280,338

 
 
FleetCor Technologies, Inc.
 
Common and Preferred Stock 39,053 shares
 
7,252,923

 
 
The Estee Lauder Companies Inc.
 
Common and Preferred Stock 55,381 shares
 
7,205,068

 
 
Facebook Inc. Class A
 
Common and Preferred Stock 54,959 shares
 
7,204,575

 
 
Adobe Systems Inc.
 
Common and Preferred Stock 31,300 shares
 
7,081,312

 
 
Booking Holdings Inc.
 
Common and Preferred Stock 3,901 shares
 
6,719,160

 

53



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Ecolab Inc.
 
Common and Preferred Stock 44,344 shares
 
6,534,088

 
 
UnitedHealth Group Inc.
 
Common and Preferred Stock 26,198 shares
 
6,526,446

 
 
Autodesk Inc.
 
Common and Preferred Stock 43,856 shares
 
5,640,320

 
 
Walt Disney Company
 
Common and Preferred Stock 50,556 shares
 
5,543,465

 
 
Equinix Inc.
 
Common and Preferred Stock 15,485 shares
 
5,459,392

 
 
Becton Dickinson & Company
 
Common and Preferred Stock 23,150 shares
 
5,216,158

 
 
Illumina, Inc.
 
Common and Preferred Stock 17,300 shares
 
5,188,789

 
 
Edwards Lifesciences Corporation
 
Common and Preferred Stock 33,600 shares
 
5,146,512

 
 
Novo Nordisk A/S
 
Common and Preferred Stock 110,217 shares
 
5,077,697

 
 
Automatic Data Processing, Inc.
 
Common and Preferred Stock 38,563 shares
 
5,056,381

 
 
Lowes Companies, Inc.
 
Common and Preferred Stock 52,024 shares
 
4,804,937

 
 
TJX Companies, Inc.
 
Common and Preferred Stock 107,186 shares
 
4,795,502

 
 
Linde PLC
 
Common and Preferred Stock 29,919 shares
 
4,668,561

 
 
Intuit
 
Common and Preferred Stock 23,015 shares
 
4,530,503

 
 
Apple Inc.
 
Common and Preferred Stock 28,600 shares
 
4,511,364

 
 
Monster Beverage Corporation
 
Common and Preferred Stock 89,200 shares
 
4,390,424

 
 
Ulta Salon, Cosmetics & Fragrance, Inc.
 
Common and Preferred Stock 17,910 shares
 
4,385,084

 
 
CoStar Group Inc.
 
Common and Preferred Stock 12,683 shares
 
4,278,483

 
 
Mondelez International, Inc.
 
Common and Preferred Stock 101,752 shares
 
4,073,133

 
 
Palo Alto Networks, Inc.
 
Common and Preferred Stock 20,200 shares
 
3,804,670

 
 
Intuitive Surgical, Inc.
 
Common and Preferred Stock 7,684 shares
 
3,680,021

 
 
Mastercard Inc. Class A
 
Common and Preferred Stock 18,636 shares
 
3,515,681

 
 
Splunk Inc.
 
Common and Preferred Stock 30,600 shares
 
3,208,410

 
 
Caterpillar Inc.
 
Common and Preferred Stock 24,885 shares
 
3,162,137

 
 
Align Technology, Inc.
 
Common and Preferred Stock 14,300 shares
 
2,994,849

 
 
Thermo Fisher Corporation
 
Common and Preferred Stock 13,328 shares
 
2,982,673

 
 
Cisco Systems, Inc.
 
Common and Preferred Stock 68,617 shares
 
2,973,175

 
 
Alliance Data Systems Corporation
 
Common and Preferred Stock 19,748 shares
 
2,963,780

 
 
Zebra Technologies Corporation
 
Common and Preferred Stock 18,500 shares
 
2,945,755

 
 
Sarepta Therapeutics Inc.
 
Common and Preferred Stock 26,900 shares
 
2,935,597

 
 
Abiomed Inc.
 
Common and Preferred Stock 8,800 shares
 
2,860,352

 
 
Coca Cola Company
 
Common and Preferred Stock 57,900 shares
 
2,741,565

 
 
Match Group Inc.
 
Common and Preferred Stock 63,900 shares
 
2,733,003

 
 
Workday Inc. Class A
 
Common and Preferred Stock 16,800 shares
 
2,682,624

 
 
Deere & Company
 
Common and Preferred Stock 17,894 shares
 
2,669,248

 
 
Boston Scientific Corporation
 
Common and Preferred Stock 74,300 shares
 
2,625,762

 
 
RingCentral, Inc. Class A
 
Common and Preferred Stock 31,100 shares
 
2,563,884

 
 
Biomarin Pharmaceutical Inc.
 
Common and Preferred Stock 28,700 shares
 
2,443,805

 
 
Twitter Inc.
 
Common and Preferred Stock 84,000 shares
 
2,414,160

 
 
Vertex Pharmaceuticals Inc.
 
Common and Preferred Stock 14,373 shares
 
2,381,750

 
 
Eli Lilly and Company
 
Common and Preferred Stock 20,000 shares
 
2,314,400

 
 
CF Industries Holdings Inc.
 
Common and Preferred Stock 52,700 shares
 
2,292,977

 
 
Activision Blizzard Inc.
 
Common and Preferred Stock 48,400 shares
 
2,253,988

 
 
Xilinx Inc.
 
Common and Preferred Stock 25,900 shares
 
2,205,903

 
 
Alexion Pharmaceuticals, Inc.
 
Common and Preferred Stock 22,500 shares
 
2,190,600

 

54



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Target Corporation
 
Common and Preferred Stock 31,000 shares
 
2,048,790

 
 
SBV Financial Group
 
Common and Preferred Stock 10,755 shares
 
2,042,590

 
 
Dexcom Inc.
 
Common and Preferred Stock 16,600 shares
 
1,988,680

 
 
Loxo Oncology Inc.
 
Common and Preferred Stock 14,020 shares
 
1,963,781

 
 
Worldpay Inc. Class A
 
Common and Preferred Stock 25,542 shares
 
1,952,175

 
 
Floor & Decor Holdings Inc.
 
Common and Preferred Stock 74,000 shares
 
1,916,600

 
 
CSX Corporation
 
Common and Preferred Stock 30,800 shares
 
1,913,604

 
 
Grubhub Inc.
 
Common and Preferred Stock 24,900 shares
 
1,912,569

 
 
Qualcomm Inc.
 
Common and Preferred Stock 32,000 shares
 
1,821,120

 
 
Five Below, Inc.
 
Common and Preferred Stock 17,700 shares
 
1,811,064

 
 
Chipotle Mexican Grill, Inc.
 
Common and Preferred Stock 4,100 shares
 
1,770,339

 
 
Capital One Financial Corporation
 
Common and Preferred Stock 22,520 shares
 
1,702,287

 
 
Intel Corporation
 
Common and Preferred Stock 36,000 shares
 
1,689,480

 
 
Procter & Gamble NPV
 
Common and Preferred Stock 17,100 shares
 
1,571,832

 
 
Atlassian Corporation PLC Class A
 
Common and Preferred Stock 17,450 shares
 
1,552,701

 
 
Lululemon Athletica Inc.
 
Common and Preferred Stock 12,000 shares
 
1,459,320

 
 
Jacobs Engineering Group Inc.
 
Common and Preferred Stock 22,900 shares
 
1,338,734

 
 
WellCare Health Plans, Inc.
 
Common and Preferred Stock 5,300 shares
 
1,251,277

 
 
Diamondback Energy Inc.
 
Common and Preferred Stock 12,729 shares
 
1,179,978

 
 
Pioneer National Resources Company
 
Common and Preferred Stock 8,000 shares
 
1,052,160

 
 
Live Nation Entertainment Inc.
 
Common and Preferred Stock 16,100 shares
 
792,925

 
 
Tiffany & Company
 
Common and Preferred Stock 7,650 shares
 
615,902

 
Total Large Cap Growth Asset Class
 
 
 
 
421,443,496

 
 
 
 
 
 
 
Large Cap Index Asset Class:
 
 
 
 
 
 
NT Collective S&P 500 Index Fund – Non Lending*
 
Collective Trust Fund 108,363 units
 
948,512,821

 
Total Large Cap Index Asset Class
 
 
 
 
948,512,821

 
 
 
 
 
 
 
Large Cap Value Asset Class:
 
 
 
 
 
 
NT Collective Short Term Investment Fund*
 
Collective Trust Fund 65,459,334 units
 
65,459,334

 
 
NT Collective Russell 1000 Value Index Fund / Non Lending*
 
Collective Trust Fund 33,029 units
 
10,942,075

 
 
Alphabet Inc. Class C
 
Common and Preferred Stock 6,759 shares
 
6,999,688

 
 
Microsoft Corporation
 
Common and Preferred Stock 65,492 shares
 
6,652,022

 
 
Hilton Worldwide Holdings Inc.
 
Common and Preferred Stock 84,276 shares
 
6,051,017

 
 
Mastercard Inc. Class A
 
Common and Preferred Stock 31,577 shares
 
5,957,001

 
 
Skyworks Solutions Inc
 
Common and Preferred Stock 85,917 shares
 
5,758,157

 
 
National Oilwell Varco, Inc.
 
Common and Preferred Stock 221,883 shares
 
5,702,393

 
 
Qorvo, Inc.
 
Common and Preferred Stock 93,886 shares
 
5,701,697

 
 
KKR & Company Inc. Class A
 
Common and Preferred Stock 244,244 shares
 
4,794,510

 
 
Swiss Re AG
 
Common and Preferred Stock 49,183 shares
 
4,494,940

 
 
McKesson Corporation
 
Common and Preferred Stock 39,899 shares
 
4,407,643

 
 
CVS Health Corporation
 
Common and Preferred Stock 66,047 shares
 
4,327,399

 
 
Comcast Corporation Class A
 
Common and Preferred Stock 125,000 shares
 
4,256,250

 
 
United Parcel Service Inc. Class B
 
Common and Preferred Stock 41,241 shares
 
4,022,235

 

55



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Amazon Inc.
 
Common and Preferred Stock 2,655 shares
 
3,987,730

 
 
European Aeronautic Defense and Space Company
 
Common and Preferred Stock 41,054 shares
 
3,959,658

 
 
Teradyne Inc.
 
Common and Preferred Stock 126,141 shares
 
3,958,305

 
 
Parker/Hannifin Corporation
 
Common and Preferred Stock 26,355 shares
 
3,930,585

 
 
Visa Inc. Class A
 
Common and Preferred Stock 27,970 shares
 
3,690,362

 
 
Wells Fargo & Company*
 
Common and Preferred Stock 77,500 shares
 
3,571,200

 
 
Charter Communications, Inc. Class A
 
Common and Preferred Stock 11,222 shares
 
3,197,933

 
 
The Charles Schwab Corporation
 
Common and Preferred Stock 77,000 shares
 
3,197,810

 
 
Oracle Corporation
 
Common and Preferred Stock 68,080 shares
 
3,073,812

 
 
State Street Corporation
 
Common and Preferred Stock 48,148 shares
 
3,036,694

 
 
S&P Global Inc.
 
Common and Preferred Stock 16,703 shares
 
2,838,508

 
 
Sanofi/Aventis
 
Common and Preferred Stock 65,000 shares
 
2,821,650

 
 
Bank of America Corporation*
 
Common and Preferred Stock 112,000 shares
 
2,759,680

 
 
Facebook Inc. Class A
 
Common and Preferred Stock 21,019 shares
 
2,755,381

 
 
AmerisourceBergen Corp.
 
Common and Preferred Stock 36,978 shares
 
2,751,163

 
 
Novartis AG
 
Common and Preferred Stock 31,500 shares
 
2,703,015

 
 
Capital One Financial Corporation
 
Common and Preferred Stock 35,500 shares
 
2,683,445

 
 
J.P. Morgan Chase & Company*
 
Common and Preferred Stock 26,400 shares
 
2,577,168

 
 
Cigna Corporation
 
Common and Preferred Stock 13,516 shares
 
2,567,027

 
 
American Express Company
 
Common and Preferred Stock 26,700 shares
 
2,545,044

 
 
Everest Re Group Ltd
 
Common and Preferred Stock 11,236 shares
 
2,446,751

 
 
Bank of New York Mellon Corporation
 
Common and Preferred Stock 50,500 shares
 
2,377,035

 
 
Axis Capital Holdings Limited
 
Common and Preferred Stock 45,958 shares
 
2,373,271

 
 
FedEx Corporation
 
Common and Preferred Stock 14,600 shares
 
2,355,418

 
 
AstraZeneca PLC
 
Common and Preferred Stock 56,500 shares
 
2,145,870

 
 
Twenty-First Century Fox, Inc. Class A
 
Common and Preferred Stock 44,000 shares
 
2,117,280

 
 
Bristol/Myers Squibb Company
 
Common and Preferred Stock 40,500 shares
 
2,105,190

 
 
Roche Holdings Ltd.
 
Common and Preferred Stock 66,000 shares
 
2,051,280

 
 
MetLife, Inc.*
 
Common and Preferred Stock 49,000 shares
 
2,011,940

 
 
GlaxoSmithKline PLC
 
Common and Preferred Stock 52,000 shares
 
1,986,920

 
 
Anadarko Petroleum Corporation
 
Common and Preferred Stock 43,000 shares
 
1,885,120

 
 
Johnson Controls International PLC
 
Common and Preferred Stock 63,055 shares
 
1,869,581

 
 
Hewlett Packard Enterprise Company
 
Common and Preferred Stock 133,500 shares
 
1,763,535

 
 
Eli Lilly and Company
 
Common and Preferred Stock 15,000 shares
 
1,735,800

 
 
HP Inc.
 
Common and Preferred Stock 82,000 shares
 
1,677,720

 
 
The Goldman Sachs Group Inc.
 
Common and Preferred Stock 10,000 shares
 
1,670,500

 
 
Occidental Petroleum Corporation
 
Common and Preferred Stock 25,539 shares
 
1,567,584

 
 
Cisco Systems, Inc.
 
Common and Preferred Stock 36,000 shares
 
1,559,880

 
 
UnitedHealth Group Inc.
 
Common and Preferred Stock 6,200 shares
 
1,544,544

 
 
Booking Holdings Inc.
 
Common and Preferred Stock 875 shares
 
1,507,118

 
 
United Technologies Corporation
 
Common and Preferred Stock 12,500 shares
 
1,331,000

 
 
TE Connectivity Limited
 
Common and Preferred Stock 16,700 shares
 
1,263,021

 
 
Baker Hughes
 
Common and Preferred Stock 58,100 shares
 
1,249,150

 
 
Microchip Technology Inc.
 
Common and Preferred Stock 16,700 shares
 
1,201,064

 
 
Apache Corporation
 
Common and Preferred Stock 43,981 shares
 
1,154,501

 

56



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Gilead Sciences Inc.
 
Common and Preferred Stock 16,500 shares
 
1,032,075

 
 
Qurate Retail Inc.
 
Common and Preferred Stock 50,000 shares
 
976,000

 
 
Celanese Corporation
 
Common and Preferred Stock 10,800 shares
 
971,676

 
 
Union Pacific Corporation
 
Common and Preferred Stock 6,500 shares
 
898,495

 
 
Juniper Networks, Inc.
 
Common and Preferred Stock 32,500 shares
 
874,575

 
 
BB&T Corporation
 
Common and Preferred Stock 20,000 shares
 
866,400

 
 
Schlumberger Limited
 
Common and Preferred Stock 24,000 shares
 
865,920

 
 
AT&T Inc.
 
Common and Preferred Stock 25,091 shares
 
716,097

 
 
Twenty-First Century Fox, Inc. Class B
 
Common and Preferred Stock 14,500 shares
 
692,810

 
 
Halliburton Company
 
Common and Preferred Stock 25,350 shares
 
673,803

 
 
Danaher Corporation
 
Common and Preferred Stock 5,700 shares
 
587,784

 
 
Sprint Corporation
 
Common and Preferred Stock 95,492 shares
 
555,763

 
 
Micro Focus International PLC
 
Common and Preferred Stock 31,226 shares
 
537,399

 
 
Medtronic PLC
 
Common and Preferred Stock 5,800 shares
 
527,568

 
 
Zayo Group Holdings Inc.
 
Common and Preferred Stock 22,500 shares
 
513,900

 
 
Molson Coors Brewing Class B
 
Common and Preferred Stock 9,000 shares
 
505,440

 
 
Maxim Integrated Products, Inc.
 
Common and Preferred Stock 9,400 shares
 
477,990

 
 
Concho Resources Inc.
 
Common and Preferred Stock 4,500 shares
 
462,555

 
 
Aegon N.V.*
 
Common and Preferred Stock 99,400 shares
 
462,210

 
 
Dish Network Corporation Class A
 
Common and Preferred Stock 18,200 shares
 
454,454

 
 
Dell Technologies Inc. Class C
 
Common and Preferred Stock 9,092 shares
 
444,336

 
 
Brighthouse Financial Inc.
 
Common and Preferred Stock 11,163 shares
 
340,248

 
 
Alnylam Pharmaceuticals, Inc.
 
Common and Preferred Stock 4,500 shares
 
328,095

 
 
Gap Inc.
 
Common and Preferred Stock 12,700 shares
 
327,152

 
 
Mattel Inc.
 
Common and Preferred Stock 32,700 shares
 
326,673

 
 
Harley/Davidson
 
Common and Preferred Stock 9,500 shares
 
324,140

 
 
Alphabet Inc. Class A
 
Common and Preferred Stock 250 shares
 
261,240

 
 
Incyte Corporation
 
Common and Preferred Stock 3,500 shares
 
222,565

 
 
Ball Corporation
 
Common and Preferred Stock 4,500 shares
 
206,910

 
 
News Corporation Class A
 
Common and Preferred Stock 13,000 shares
 
147,550

 
 
Target Corporation
 
Common and Preferred Stock 2,000 shares
 
132,180

 
 
Weatherford International Ltd.
 
Common and Preferred Stock 42,000 shares
 
23,478

 
 
Synopsys, Inc.
 
Common and Preferred Stock 200 shares
 
16,848

 
Total Large Cap Value Asset Class
 
 
 
 
269,837,933

 
 
 
 
 
 
 
Participant Self-Directed Brokerage Accounts
 
Various Investments
 
344,113,884

 
 
 
 
 
 
 
344,113,884

 
 
 
 
 
 
 
REIT Asset Class:
 
 
 
 
 
 
Vanguard Specialized Portfolios REIT Index Fund Institutional Class
 
Mutual Fund 7,763,136 units
 
127,004,903

 
 
NT Collective Global Real Estate Index Fund - Non Lending*
 
Collective Trust Fund 51,119 units
 
9,788,731

 
Total REIT Asset Class
 
 
 
 
136,793,634

 
 
 
 
 
 
 
Small-Mid Cap Growth Asset Class:
 
 
 
 
 
 
NT Collective Russell 2000 Growth Index Fund / Non Lending*
 
Collective Trust Fund 35,425 units
 
11,022,216

 

57



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Zendesk, Inc.
 
Common and Preferred Stock 56,464 shares
 
3,295,804

 
 
Five9 Inc.
 
Common and Preferred Stock 64,715 shares
 
2,829,340

 
 
Euronet Worldwide, Inc.
 
Common and Preferred Stock 24,942 shares
 
2,553,562

 
 
HEICO Corporation Class A
 
Common and Preferred Stock 36,683 shares
 
2,311,029

 
 
Five Below, Inc.
 
Common and Preferred Stock 22,206 shares
 
2,272,118

 
 
ICON Public Limited Company
 
Common and Preferred Stock 17,322 shares
 
2,238,176

 
 
Green Dot Corporation Stock
 
Common and Preferred Stock 27,585 shares
 
2,193,559

 
 
Zebra Technologies Corporation
 
Common and Preferred Stock 13,604 shares
 
2,166,165

 
 
RBC Bearings Inc.
 
Common and Preferred Stock 15,542 shares
 
2,037,556

 
 
Molina Healthcare Inc.
 
Common and Preferred Stock 16,555 shares
 
1,924,022

 
 
Barnes Group Inc.
 
Common and Preferred Stock 35,836 shares
 
1,921,526

 
 
Dexcom Inc.
 
Common and Preferred Stock 15,661 shares
 
1,876,188

 
 
IAC/InterActiveCorp
 
Common and Preferred Stock 9,400 shares
 
1,720,576

 
 
Monro Muffler Brake, Inc.
 
Common and Preferred Stock 24,621 shares
 
1,692,694

 
 
RingCentral, Inc. Class A
 
Common and Preferred Stock 20,347 shares
 
1,677,407

 
 
Cantel Medical Corporation
 
Common and Preferred Stock 22,197 shares
 
1,652,567

 
 
Rapid7 Inc.
 
Common and Preferred Stock 52,088 shares
 
1,623,062

 
 
Monolithic Power Systems, Inc.
 
Common and Preferred Stock 13,908 shares
 
1,616,805

 
 
Copart, Inc.
 
Common and Preferred Stock 33,833 shares
 
1,616,541

 
 
Insulet Corporation
 
Common and Preferred Stock 20,055 shares
 
1,590,763

 
 
Exact Sciences Corporation
 
Common and Preferred Stock 25,371 shares
 
1,544,120

 
 
Ollie's Bargain Outlet Holdings Inc.
 
Common and Preferred Stock 23,149 shares
 
1,539,640

 
 
Paylocity Holding Corporation
 
Common and Preferred Stock 25,442 shares
 
1,531,863

 
 
Eagle Bancorp, Inc.
 
Common and Preferred Stock 29,191 shares
 
1,421,894

 
 
Docusign Inc.
 
Common and Preferred Stock 34,969 shares
 
1,401,558

 
 
Healthcare Services Group Inc.
 
Common and Preferred Stock 34,656 shares
 
1,392,478

 
 
Chegg Inc.
 
Common and Preferred Stock 47,729 shares
 
1,356,458

 
 
Neogen Corporation
 
Common and Preferred Stock 23,635 shares
 
1,347,195

 
 
Aaon Inc.
 
Common and Preferred Stock 37,338 shares
 
1,309,070

 
 
Etsy Inc.
 
Common and Preferred Stock 27,275 shares
 
1,297,472

 
 
The Ensign Group, Inc.
 
Common and Preferred Stock 33,375 shares
 
1,294,616

 
 
Globant SA
 
Common and Preferred Stock 22,241 shares
 
1,252,613

 
 
Lululemon Athletica Inc.
 
Common and Preferred Stock 10,258 shares
 
1,247,475

 
 
Wright Medical Group NV
 
Common and Preferred Stock 44,772 shares
 
1,218,694

 
 
Envestnet, Inc.
 
Common and Preferred Stock 24,613 shares
 
1,210,713

 
 
CoStar Group Inc.
 
Common and Preferred Stock 3,573 shares
 
1,205,316

 
 
Ulta Salon, Cosmetics & Fragrance, Inc.
 
Common and Preferred Stock 4,906 shares
 
1,201,185

 
 
Ultimate Software Group, Inc.
 
Common and Preferred Stock 4,741 shares
 
1,160,929

 
 
HubSpot, Inc.
 
Common and Preferred Stock 9,126 shares
 
1,147,412

 
 
Abiomed Inc.
 
Common and Preferred Stock 3,508 shares
 
1,140,240

 
 
G-III Apparel Group Limited
 
Common and Preferred Stock 40,429 shares
 
1,127,565

 
 
Cree Inc.
 
Common and Preferred Stock 25,678 shares
 
1,098,376

 
 
Keysight Technologies Inc.
 
Common and Preferred Stock 17,546 shares
 
1,089,256

 
 
Spirit Airlines, Inc.
 
Common and Preferred Stock 18,753 shares
 
1,086,174

 
 
Haemonetics Corporation
 
Common and Preferred Stock 10,818 shares
 
1,082,341

 
 
Tandem Diabetes Care Inc.
 
Common and Preferred Stock 28,010 shares
 
1,063,540

 
 
Proofpoint, Inc.
 
Common and Preferred Stock 12,574 shares
 
1,053,827

 

58



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Evolent Health Inc. Class A Class A
 
Common and Preferred Stock 52,789 shares
 
1,053,141

 
 
Healthequity, Inc.
 
Common and Preferred Stock 17,098 shares
 
1,019,896

 
 
Knight-Swift Transportation Holdings Inc.
 
Common and Preferred Stock 37,828 shares
 
948,348

 
 
Grubhub Inc.
 
Common and Preferred Stock 12,280 shares
 
943,227

 
 
Irobot Corporation
 
Common and Preferred Stock 11,160 shares
 
934,538

 
 
InterXion Holding N.V.
 
Common and Preferred Stock 16,437 shares
 
890,228

 
 
Cyber-Ark Software Inc.
 
Common and Preferred Stock 11,884 shares
 
881,080

 
 
Array BioPharma Inc.
 
Common and Preferred Stock 61,769 shares
 
880,208

 
 
SiteOne Landscape Supply Inc.
 
Common and Preferred Stock 15,921 shares
 
879,954

 
 
Inter Parfums, Inc.
 
Common and Preferred Stock 13,233 shares
 
867,688

 
 
Q2 Holdings Inc.
 
Common and Preferred Stock 17,220 shares
 
853,251

 
 
Dolby Laboratories Inc. Class A
 
Common and Preferred Stock 13,772 shares
 
851,660

 
 
Sun Hydraulics Corporation
 
Common and Preferred Stock 25,038 shares
 
831,011

 
 
SBV Financial Group
 
Common and Preferred Stock 4,291 shares
 
814,947

 
 
Shake Shack Inc. Class A
 
Common and Preferred Stock 16,892 shares
 
767,235

 
 
PTC Inc.
 
Common and Preferred Stock 9,178 shares
 
760,856

 
 
Floor & Decor Holdings Inc.
 
Common and Preferred Stock 28,070 shares
 
727,013

 
 
Neurocrine Biosciences, Inc.
 
Common and Preferred Stock 10,180 shares
 
726,954

 
 
LGI Homes Inc.
 
Common and Preferred Stock 15,974 shares
 
722,344

 
 
Teradyne, Inc.
 
Common and Preferred Stock 22,898 shares
 
718,539

 
 
National Vision Holdings Inc.
 
Common and Preferred Stock 25,224 shares
 
710,560

 
 
Advance Auto Parts Inc.
 
Common and Preferred Stock 4,457 shares
 
701,799

 
 
Medpace Holdings Inc.
 
Common and Preferred Stock 12,912 shares
 
683,432

 
 
Chart Industries Inc.
 
Common and Preferred Stock 10,132 shares
 
658,884

 
 
Pinnacle Financial Partners
 
Common and Preferred Stock 14,166 shares
 
653,053

 
 
Glu Mobile Inc.
 
Common and Preferred Stock 78,235 shares
 
631,356

 
 
Twilio Inc. Class A
 
Common and Preferred Stock 6,865 shares
 
613,045

 
 
Semtech Corporation
 
Common and Preferred Stock 13,114 shares
 
601,539

 
 
Alaska Air Group Inc.
 
Common and Preferred Stock 9,850 shares
 
599,373

 
 
Vail Resorts Inc.
 
Common and Preferred Stock 2,823 shares
 
595,145

 
 
Intra/Cellular Therapies, Inc.
 
Common and Preferred Stock 51,157 shares
 
582,678

 
 
Varonis Systems Inc.
 
Common and Preferred Stock 10,957 shares
 
579,625

 
 
TransUnion
 
Common and Preferred Stock 10,164 shares
 
577,315

 
 
Madison Square Garden Company Class A
 
Common and Preferred Stock 2,113 shares
 
565,650

 
 
Urban Outfitters Inc.
 
Common and Preferred Stock 17,007 shares
 
564,632

 
 
Bio/Rad Laboratories, Inc. Class A
 
Common and Preferred Stock 2,387 shares
 
554,309

 
 
Wayfair Inc. Class A
 
Common and Preferred Stock 6,110 shares
 
550,389

 
 
Sangamo Biosciences, Inc.
 
Common and Preferred Stock 46,984 shares
 
539,376

 
 
Allegiant Travel Company
 
Common and Preferred Stock 5,348 shares
 
535,977

 
 
Aerie Pharmaceuticals Inc.
 
Common and Preferred Stock 14,407 shares
 
520,093

 
 
Tiffany & Company
 
Common and Preferred Stock 6,444 shares
 
518,806

 
 
Goosehead Ins Inc. Class A
 
Common and Preferred Stock 19,450 shares
 
511,341

 
 
Pure Storage Inc. Class A
 
Common and Preferred Stock 31,057 shares
 
499,397

 
 
ChemoCentryx, Inc.
 
Common and Preferred Stock 45,767 shares
 
499,318

 
 
Chuy's Holdings, Inc.
 
Common and Preferred Stock 28,001 shares
 
496,738

 
 
Texas Capital Bancshares, Inc.
 
Common and Preferred Stock 9,517 shares
 
486,224

 
 
Petiq Inc. Class A
 
Common and Preferred Stock 19,651 shares
 
461,209

 

59



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Sage Therapeutics Inc.
 
Common and Preferred Stock 4,722 shares
 
452,320

 
 
Callon Petroleum Company
 
Common and Preferred Stock 69,444 shares
 
450,692

 
 
Diamondback Energy Inc.
 
Common and Preferred Stock 4,759 shares
 
441,159

 
 
Sarepta Therapeutics Inc.
 
Common and Preferred Stock 3,984 shares
 
434,774

 
 
Burlington Stores Inc.
 
Common and Preferred Stock 2,668 shares
 
434,004

 
 
Esperion Therapeutics, Inc.
 
Common and Preferred Stock 9,317 shares
 
428,582

 
 
BJs Restaurants Inc.
 
Common and Preferred Stock 8,372 shares
 
423,372

 
 
Wex Inc.
 
Common and Preferred Stock 2,989 shares
 
418,639

 
 
Advanced Micro Devices Inc.
 
Common and Preferred Stock 22,618 shares
 
417,528

 
 
Inovio Pharmaceuticals, Inc.
 
Common and Preferred Stock 103,350 shares
 
413,400

 
 
Strategic Education Inc.
 
Common and Preferred Stock 3,353 shares
 
380,297

 
 
MSCI Inc. Common
 
Common and Preferred Stock 2,418 shares
 
356,486

 
 
GoDaddy Inc. Class A
 
Common and Preferred Stock 5,090 shares
 
334,006

 
 
Mongodb Inc. Class A Class A
 
Common and Preferred Stock 3,839 shares
 
321,478

 
 
Madrigal Pharmaceuticals Inc.
 
Common and Preferred Stock 2,685 shares
 
302,653

 
 
Trupanion Inc.
 
Common and Preferred Stock 10,910 shares
 
277,769

 
 
Macrogenics Inc.
 
Common and Preferred Stock 20,267 shares
 
257,391

 
 
Atara Biotherapeutics Inc.
 
Common and Preferred Stock 7,366 shares
 
255,895

 
 
Harsco Corporation
 
Common and Preferred Stock 12,522 shares
 
248,687

 
 
Cytokinetics, Inc.
 
Common and Preferred Stock 37,508 shares
 
237,051

 
 
Malibu Boats Inc. Class A
 
Common and Preferred Stock 6,357 shares
 
221,224

 
 
Viking Therapeutics Inc.
 
Common and Preferred Stock 27,290 shares
 
208,769

 
 
Amedisys Inc.
 
Common and Preferred Stock 1,660 shares
 
194,403

 
 
Flexion Therapeutics Inc.
 
Common and Preferred Stock 12,260 shares
 
138,783

 
 
Bellicum Pharmaceuticals Inc.
 
Common and Preferred Stock 15,325 shares
 
44,749

 
 
Tetra Tech, Inc.
 
Warrant 71,750 shares
 
7,893

 
Total Small-Mid Cap Growth Asset Class
 
 
 
 
126,319,081

 
 
 
 
 
 
 
Small-Mid Cap Index Asset Class:
 
 
 
 
 
 
NT Collective Extended Equity Market Index Fund / Non Lending*
 
Collective Trust Fund 1,746,279 units
 
301,722,058

 
Total Small-Mid Cap Index Asset Class
 
 
 
 
301,722,058

 
 
 
 
 
 
 
Small-Mid Cap Value Asset Class:
 
 
 
 
 
 
NT Collective Russell 2000 Value Index Fund / Non Lending*
 
Collective Trust Fund 92,758 units
 
25,049,596

 
 
Popular, Inc.
 
Common and Preferred Stock 124,800 shares
 
5,893,056

 
 
Citigroup Inc.
 
Common and Preferred Stock 141,088 shares
 
5,399,438

 
 
Tri Pointe Group Inc.
 
Common and Preferred Stock 464,605 shares
 
5,078,133

 
 
Whiting Petroleum Corporation
 
Common and Preferred Stock 176,100 shares
 
3,995,709

 
 
Ameris Bancorp
 
Common and Preferred Stock 119,380 shares
 
3,780,765

 
 
Hewlett Packard Enterprise Company
 
Common and Preferred Stock 278,200 shares
 
3,675,022

 
 
First Horizon National Corporation
 
Common and Preferred Stock 273,126 shares
 
3,594,338

 

60



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Citizens Financial Group, Inc.
 
Common and Preferred Stock 119,000 shares
 
3,537,870

 
 
KBR Inc.
 
Common and Preferred Stock 229,800 shares
 
3,488,364

 
 
Axis Capital Holdings Limited
 
Common and Preferred Stock 64,430 shares
 
3,327,165

 
 
RenaissanceRe Holdings Limited
 
Common and Preferred Stock 22,900 shares
 
3,061,730

 
 
Mellanox Technologies Limited
 
Common and Preferred Stock 31,945 shares
 
2,951,079

 
 
Bemis Company Inc.
 
Common and Preferred Stock 58,382 shares
 
2,679,734

 
 
Western Alliance Bancorporation
 
Common and Preferred Stock 67,775 shares
 
2,676,435

 
 
Goodyear Tire & Rubber Company
 
Common and Preferred Stock 129,900 shares
 
2,651,259

 
 
Bio/Rad Laboratories, Inc. Class A
 
Common and Preferred Stock 11,215 shares
 
2,604,347

 
 
Taylor Morrison Home Corporation
 
Common and Preferred Stock 159,865 shares
 
2,541,854

 
 
The Bank of N.T. Butterfield & Son Limited
 
Common and Preferred Stock 80,690 shares
 
2,529,632

 
 
RPT Realty Shares Of Beneficial Interest
 
Common and Preferred Stock 209,582 shares
 
2,504,505

 
 
Kosmos Energy Limited
 
Common and Preferred Stock 615,200 shares
 
2,503,864

 
 
Discovery Communications, Inc. Series C
 
Common and Preferred Stock 107,200 shares
 
2,474,176

 
 
Haverty Furniture Companies, Inc.
 
Common and Preferred Stock 129,090 shares
 
2,424,310

 
 
Reliance Steel & Aluminum Company
 
Common and Preferred Stock 33,830 shares
 
2,407,681

 
 
Avnet, Inc.
 
Common and Preferred Stock 66,200 shares
 
2,389,820

 
 
EnerSys
 
Common and Preferred Stock 30,665 shares
 
2,379,911

 
 
ARRIS International PLC
 
Common and Preferred Stock 77,200 shares
 
2,360,004

 
 
BorgWarner Inc.
 
Common and Preferred Stock 66,975 shares
 
2,326,712

 
 
The Geo Group, Inc.
 
Common and Preferred Stock 116,150 shares
 
2,288,155

 
 
Allegheny Technologies Inc.
 
Common and Preferred Stock 103,500 shares
 
2,253,195

 
 
Office Depot, Inc.
 
Common and Preferred Stock 867,300 shares
 
2,237,634

 
 
CNO Financial Group, Inc.
 
Common and Preferred Stock 149,700 shares
 
2,227,536

 
 
Cairn Energy PLC
 
Common and Preferred Stock 584,100 shares
 
2,190,375

 
 
Quanta Services Inc.
 
Common and Preferred Stock 72,310 shares
 
2,176,531

 
 
Carrizo Oil & Gas Inc.
 
Common and Preferred Stock 188,175 shares
 
2,124,496

 
 
EQT Corporation
 
Common and Preferred Stock 111,825 shares
 
2,112,374

 
 
Foot Locker Inc.
 
Common and Preferred Stock 39,155 shares
 
2,083,046

 
 
ICF International, Inc.
 
Common and Preferred Stock 31,770 shares
 
2,058,061

 
 
McDermott International Inc.
 
Common and Preferred Stock 306,500 shares
 
2,004,510

 
 
Embraer SA
 
Common and Preferred Stock 89,500 shares
 
1,980,635

 
 
Superior Energy Services Inc.
 
Common and Preferred Stock 582,800 shares
 
1,952,380

 
 
Amerco
 
Common and Preferred Stock 5,900 shares
 
1,935,849

 
 
Knight-Swift Transportation Holdings Inc.
 
Common and Preferred Stock 76,205 shares
 
1,910,459

 
 
Kemper Corporation
 
Common and Preferred Stock 28,400 shares
 
1,885,192

 

61



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Royal Mail PLC
 
Common and Preferred Stock 272,100 shares
 
1,866,606

 
 
Innospec Inc.
 
Common and Preferred Stock 29,774 shares
 
1,838,842

 
 
Equitrans Midstream Corporation
 
Common and Preferred Stock 91,379 shares
 
1,829,408

 
 
Coherent, Inc.
 
Common and Preferred Stock 17,300 shares
 
1,828,783

 
 
PH Glatfelter Company
 
Common and Preferred Stock 184,590 shares
 
1,801,598

 
 
Acacia Communications Inc.
 
Common and Preferred Stock 46,800 shares
 
1,778,400

 
 
Navistar International Corporation
 
Common and Preferred Stock 67,800 shares
 
1,759,410

 
 
United Financial Bancorp Inc.
 
Common and Preferred Stock 115,100 shares
 
1,691,970

 
 
Generac Holdings Inc.
 
Common and Preferred Stock 34,000 shares
 
1,689,800

 
 
C&J Energy Services Inc.
 
Common and Preferred Stock 123,400 shares
 
1,665,900

 
 
Getty Realty Corporation
 
Common and Preferred Stock 56,500 units
 
1,661,665

 
 
Jacobs Engineering Group Inc.
 
Common and Preferred Stock 27,775 shares
 
1,623,727

 
 
Albany International Corporation Class A
 
Common and Preferred Stock 25,367 shares
 
1,583,662

 
 
Neophotonics Corporation
 
Common and Preferred Stock 243,600 shares
 
1,578,528

 
 
ViaSat, Inc.
 
Common and Preferred Stock 26,775 shares
 
1,578,386

 
 
Reinsurance Group of America, Inc.
 
Common and Preferred Stock 11,030 shares
 
1,546,737

 
 
Synchrony Financial
 
Common and Preferred Stock 65,800 shares
 
1,543,668

 
 
Great Lakes Dredge & Dock Corporation
 
Common and Preferred Stock 230,100 shares
 
1,523,262

 
 
Mammoth Energy Services Inc.
 
Common and Preferred Stock 84,300 shares
 
1,515,714

 
 
Tutor Perini Corporation
 
Common and Preferred Stock 94,700 shares
 
1,512,359

 
 
Banner Corporation
 
Common and Preferred Stock 28,200 shares
 
1,508,136

 
 
MGIC Investment Corporation
 
Common and Preferred Stock 143,800 shares
 
1,504,148

 
 
Gulfport Energy Corporation
 
Common and Preferred Stock 229,600 shares
 
1,503,880

 
 
PPDC Energy Inc.
 
Common and Preferred Stock 50,530 shares
 
1,503,773

 
 
AXA Equitable Holdings Inc.
 
Common and Preferred Stock 88,000 shares
 
1,463,440

 
 
HomeStreet Inc.
 
Common and Preferred Stock 68,600 shares
 
1,456,378

 
 
Teradyne, Inc.
 
Common and Preferred Stock 46,200 shares
 
1,449,756

 
 
Astronics Corporation
 
Common and Preferred Stock 47,370 shares
 
1,442,417

 
 
LivaNova PLC
 
Common and Preferred Stock 15,765 shares
 
1,442,025

 
 
Brandywine Realty Trust
 
Common and Preferred Stock 111,727 units
 
1,437,926

 
 
Netscout Systems Inc.
 
Common and Preferred Stock 60,700 shares
 
1,434,341

 
 
Bunge Limited
 
Common and Preferred Stock 26,800 shares
 
1,432,192

 
 
Carpenter Technology Corporation
 
Common and Preferred Stock 39,900 shares
 
1,420,839

 
 
BMC Stock Holdings Inc.
 
Common and Preferred Stock 90,490 shares
 
1,400,785

 
 
Texas Capital Bancshares, Inc.
 
Common and Preferred Stock 27,390 shares
 
1,399,355

 
 
Ophir Energy Company
 
Common and Preferred Stock 1,538,600 shares
 
1,399,049

 
 
Magna International Inc.
 
Common and Preferred Stock 30,600 shares
 
1,390,770

 
 
Fulton Financial Corporation
 
Common and Preferred Stock 85,000 shares
 
1,315,800

 
 
Cummins Inc.
 
Common and Preferred Stock 9,700 shares
 
1,296,308

 
 
PPL Corporation
 
Common and Preferred Stock 43,800 shares
 
1,240,854

 
 
Spirit Airlines, Inc.
 
Common and Preferred Stock 20,900 shares
 
1,210,528

 

62



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Ardmore Shipping Corporation
 
Common and Preferred Stock 259,100 shares
 
1,209,997

 
 
Cypress Semiconductor Corporation
 
Common and Preferred Stock 94,565 shares
 
1,202,867

 
 
Smart Global Holdings Inc. Common Stock
 
Common and Preferred Stock 40,500 shares
 
1,202,850

 
 
Apogee Enterprises, Inc.
 
Common and Preferred Stock 39,895 shares
 
1,190,866

 
 
Central Pacific Financial Corporation
 
Common and Preferred Stock 48,000 shares
 
1,168,800

 
 
Ally Financial Inc.
 
Common and Preferred Stock 51,000 shares
 
1,155,660

 
 
Haynes International Inc.
 
Common and Preferred Stock 42,900 shares
 
1,132,560

 
 
Microstrategy Inc. Class A
 
Common and Preferred Stock 8,800 shares
 
1,124,200

 
 
High Point Resources Corporation
 
Common and Preferred Stock 449,500 shares
 
1,119,255

 
 
LGI Homes Inc.
 
Common and Preferred Stock 24,600 shares
 
1,112,412

 
 
Apache Corporation
 
Common and Preferred Stock 41,700 shares
 
1,094,625

 
 
Bed Bath & Beyond Inc.
 
Common and Preferred Stock 95,900 shares
 
1,085,588

 
 
Century Communities, Inc.
 
Common and Preferred Stock 62,500 shares
 
1,078,750

 
 
Discover Financial Services
 
Common and Preferred Stock 18,200 shares
 
1,073,436

 
 
Pacwest Bancorp Company
 
Common and Preferred Stock 31,980 shares
 
1,064,294

 
 
National Bank Holdings Corporation Class A
 
Common and Preferred Stock 34,300 shares
 
1,058,841

 
 
Schweitzer-Mauduit International Inc.
 
Common and Preferred Stock 40,600 shares
 
1,017,030

 
 
First Foundation Inc.
 
Common and Preferred Stock 78,000 shares
 
1,003,080

 
 
Euronet Worldwide, Inc.
 
Common and Preferred Stock 9,785 shares
 
1,001,788

 
 
Mallinckrodt PLC
 
Common and Preferred Stock 63,300 shares
 
1,000,140

 
 
Essent Group Limited
 
Common and Preferred Stock 28,800 shares
 
984,384

 
 
Northfield Bancorp Inc.
 
Common and Preferred Stock 72,300 shares
 
979,665

 
 
FreightCar America, Inc.
 
Common and Preferred Stock 144,300 shares
 
965,367

 
 
Tower International Inc.
 
Common and Preferred Stock 40,000 shares
 
952,000

 
 
Brixmor Property Group Inc.
 
Common and Preferred Stock 64,500 shares
 
947,505

 
 
Snap-On Incorporated
 
Common and Preferred Stock 6,500 shares
 
944,385

 
 
Corning Inc.
 
Common and Preferred Stock 30,900 shares
 
933,489

 
 
Commscope Holding Company Inc.
 
Common and Preferred Stock 56,300 shares
 
922,757

 
 
News Corporation Class A
 
Common and Preferred Stock 80,900 shares
 
918,215

 
 
Orion Marine Group, Inc.
 
Common and Preferred Stock 212,000 shares
 
909,480

 
 
Ladder Capital Corporation
 
Common and Preferred Stock 58,000 shares
 
897,260

 
 
Peapack/Gladstone Financial Corporation
 
Common and Preferred Stock 35,500 shares
 
893,890

 
 
Commvault Systems Inc.
 
Common and Preferred Stock 15,000 shares
 
886,350

 
 
Qorvo, Inc.
 
Common and Preferred Stock 14,535 shares
 
882,711

 
 
Extreme Networks Inc.
 
Common and Preferred Stock 144,300 shares
 
880,230

 
 
Del Taco Restaurants Inc.
 
Common and Preferred Stock 87,900 shares
 
878,121

 
 
Piedmont Office Realty Tru-A
 
Common and Preferred Stock 51,100 shares
 
870,744

 
 
ManpowerGroup Inc.
 
Common and Preferred Stock 13,400 shares
 
868,320

 
 
Granite Construction Inc.
 
Common and Preferred Stock 21,400 shares
 
861,992

 
 
Scorpio Tankers Inc.
 
Common and Preferred Stock 474,500 shares
 
835,120

 
 
Equity Commonwealth
 
Common and Preferred Stock 27,700 shares
 
831,277

 
 
Murphy Oil Corporation
 
Common and Preferred Stock 33,700 shares
 
788,243

 
 
The Hanover Insurance Group, Inc.
 
Common and Preferred Stock 6,700 shares
 
782,359

 

63



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Kennedy/Wilson Holdings, Inc.
 
Common and Preferred Stock 42,800 shares
 
777,676

 
 
Parsley Energy Inc. Class A
 
Common and Preferred Stock 47,970 shares
 
766,561

 
 
Solaris Oilfield Infrastructure Inc. Class A
 
Common and Preferred Stock 63,400 shares
 
766,506

 
 
Air Transport Services Group Inc.
 
Common and Preferred Stock 33,500 shares
 
764,135

 
 
Tile Shop Holdings Inc.
 
Common and Preferred Stock 137,800 shares
 
755,144

 
 
Ericsson Inc.
 
Common and Preferred Stock 84,700 shares
 
751,289

 
 
Hibbett Sports Inc.
 
Common and Preferred Stock 52,500 shares
 
750,750

 
 
Adient PLC
 
Common and Preferred Stock 49,600 shares
 
746,976

 
 
Nexpoint Residential Trust Inc.
 
Common and Preferred Stock 21,100 shares
 
739,555

 
 
Portland General Electric Company
 
Common and Preferred Stock 15,900 shares
 
729,015

 
 
Investors Real Estate Trust Shares Of Beneficial Interest
 
Common and Preferred Stock 14,770 shares
 
724,764

 
 
Industrial Logistics Properties Treasury Shares Beneficial Interest Shares
 
Common and Preferred Stock 36,300 shares
 
714,021

 
 
United Community Bank Blairsville Georgia
 
Common and Preferred Stock 33,000 shares
 
708,180

 
 
Origin Bancorp Inc.
 
Common and Preferred Stock 20,600 shares
 
702,048

 
 
UMH Properties Inc.
 
Common and Preferred Stock 57,200 shares
 
677,248

 
 
Covanta Holding Corporation
 
Common and Preferred Stock 50,100 shares
 
672,342

 
 
Santander Consumer USA Holdings, Inc.
 
Common and Preferred Stock 38,200 shares
 
671,938

 
 
Enstar Group Ltd.
 
Common and Preferred Stock 4,000 shares
 
670,280

 
 
YRC Worldwide Inc.
 
Common and Preferred Stock 212,700 shares
 
670,005

 
 
State Bank Financial Corporation
 
Common and Preferred Stock 30,100 shares
 
649,859

 
 
Sallie Mae Corporation
 
Common and Preferred Stock 76,800 shares
 
638,208

 
 
Colony Capital Inc. Class A
 
Common and Preferred Stock 135,300 shares
 
633,204

 
 
Fifth Third Bancorp
 
Common and Preferred Stock 26,700 shares
 
628,251

 
 
QAD Inc. Class A
 
Common and Preferred Stock 15,600 shares
 
613,548

 
 
Avis Budget Group Inc.
 
Common and Preferred Stock 27,000 shares
 
606,960

 
 
ALLETE Inc.
 
Common and Preferred Stock 7,900 shares
 
602,138

 
 
Ooma Inc.
 
Common and Preferred Stock 43,200 shares
 
599,616

 
 
Mesa Air Group Inc.
 
Common and Preferred Stock 77,100 shares
 
594,441

 
 
Stealthgas Inc.
 
Common and Preferred Stock 213,900 shares
 
590,364

 
 
Lattice Semiconductor Company
 
Common and Preferred Stock 84,425 shares
 
584,221

 
 
PNM Resources, Inc.
 
Common and Preferred Stock 14,100 shares
 
579,369

 
 
NorthWestern Corporation
 
Common and Preferred Stock 9,700 shares
 
576,568

 
 
Boise Cascade Company
 
Common and Preferred Stock 24,075 shares
 
574,189

 
 
Libbey, Inc.
 
Common and Preferred Stock 135,700 shares
 
526,516

 
 
Allison Transmission Holdings, Inc.
 
Common and Preferred Stock 11,000 shares
 
483,010

 
 
Kearny Financial Corporation
 
Common and Preferred Stock 37,600 shares
 
482,032

 
 
Teradata Corporation
 
Common and Preferred Stock 12,000 shares
 
460,320

 
 
CBS Corporation Class B
 
Common and Preferred Stock 10,500 shares
 
459,060

 
 
Accuray Inc.
 
Common and Preferred Stock 134,500 shares
 
458,645

 
 
e.l.f. Beauty Inc.
 
Common and Preferred Stock 51,800 shares
 
448,588

 
 
Materion Corporation
 
Common and Preferred Stock 9,925 shares
 
446,526

 
 
State Street Corporation
 
Common and Preferred Stock 7,000 shares
 
441,490

 

64



Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)

Identity of Issue
 
Description of Investment
 
 Current Value
 
Tailored Brands Inc.
 
Common and Preferred Stock 32,300 shares
 
440,572

 
 
Alleghany Corporation
 
Common and Preferred Stock 700 shares
 
436,324

 
 
NRG Energy, Inc.
 
Common and Preferred Stock 11,000 shares
 
435,600

 
 
Zimmer Biomet Holdings Inc
 
Common and Preferred Stock 4,100 shares
 
425,252

 
 
Interpublic Group Companies Inc.
 
Common and Preferred Stock 20,100 shares
 
414,663

 
 
NN Inc.
 
Common and Preferred Stock 60,500 shares
 
405,955

 
 
Eclipse Resources Corporation
 
Common and Preferred Stock 372,800 shares
 
391,440

 
 
El Paso Electric Company
 
Common and Preferred Stock 7,200 shares
 
360,936

 
 
Franks International NV
 
Common and Preferred Stock 66,000 shares
 
344,520

 
 
MDC Partners Inc. Class A
 
Common and Preferred Stock 132,000 shares
 
344,520

 
 
Aerohive Networks Inc.
 
Common and Preferred Stock 104,200 shares
 
339,692

 
 
Tetra Tech, Inc.
 
Common and Preferred Stock 195,000 shares
 
327,600

 
 
Ribbon Communications Inc.
 
Common and Preferred Stock 64,700 shares
 
311,854

 
 
KEYW Holding Corporation
 
Common and Preferred Stock 44,700 shares
 
299,043

 
 
Trinity Biotech PLC
 
Common and Preferred Stock 121,700 shares
 
278,693

 
 
Marathon Oil Corporation
 
Common and Preferred Stock 16,000 shares
 
229,440

 
 
Onespan Inc.
 
Common and Preferred Stock 15,500 shares
 
200,725

 
 
Delek Us Holdings Inc.
 
Common and Preferred Stock 6,100 shares
 
198,311

 
 
Potlatchdeltic Corporation
 
Common and Preferred Stock 6,254 shares
 
197,877

 
 
Ferroglobe PLC
 
Common and Preferred Stock 115,500 shares
 
183,645

 
 
Servicesource International
 
Common and Preferred Stock 168,500 shares
 
181,980

 
 
Hess Corporation LLC
 
Common and Preferred Stock 4,400 shares
 
178,200

 
 
Resolute Energy Corporation
 
Common and Preferred Stock 6,100 shares
 
176,778

 
Total Small-Mid Cap Value Asset Class
 
 
 
 
283,028,141

 
 
 
 
 
 
 
Notes Receivable From Participants*
 
Interest Rate 4.25% - 10.26%
 
36,568,115

 
 
 
 
 
 
 
36,568,115

 
 
 
 
 
 
 
Other:
 
 
 
 
 
 
BIF Money Fund*
 
Cash and Cash Equivalents
 
879,088

 
Total Other
 
 
 
 
879,088

 
 
 
 
 
 
 
Grand Total
 

 
 
$
4,826,086,555

 
 
 
 
 
* Indicates party-in-interest
 
 
 
 


65



Schedule H, line 4i – Schedule of Assets (Acquired and Disposed of Within Year) (continued)



Supplemental Schedule
Amgen Retirement and Savings Plan
EIN: 95-3540776 Plan: #001
Year Ended December 31, 2018
Schedule H, line 4i – Schedule of Assets (Acquired and Disposed of Within Year)

Identity of Issue
 
Description of Investment
 
Proceeds of
Dispositions
Stryker Corporation 2% Due 03/08/2019
 
Corporate Bond 300,000 units
 
$
299,388

E&D Realty 4.6% Due 12/01/2024
 
Corporate Bond 275,000 units
 
295,388

Abbott Labs 2.35% Due 11/22/2019
 
Corporate Bond 275,000 units
 
275,000

L3 Technologies 5.2% Due 10/15/2019
 
Corporate Bond 225,000 units
 
232,385

Nationwide Building Society 2.35% Due 01/21/2020
 
Corporate Bond 200,000 units
 
198,708

UTD Technologies 4.625% Due 11/16/2048
 
Corporate Bond 150,000 units
 
145,062

Morgan Stanley 3.772% Due 01/24/2029
 
Corporate Bond 115,000 units
 
115,581

OBP Depositor LLC Trust 2010 CTF 4.6462% Due 07/15/2045
 
Corporate Bond 60,000 units
 
60,703

Centene Corporation 5.625% Due 02/15/2021
 
Corporate Bond 51,000 units
 
52,066

Wellcare Health Plans, Inc. 5.375% 08/15/2026
 
Corporate Bond 50,000 units
 
51,563

Intelsat 8.125% Due 06/01/2023
 
Corporate Bond 58,000 units
 
50,814

Hartford Financial Services Group, Inc. 4.4% 03/15/2018
 
Corporate Bond 40,000 units
 
40,905

Macquarie Group Limited 4.654% 03/27/2029
 
Corporate Bond 40,000 units
 
39,660

Intelsat Connect 9.5% Due 02/15/2023
 
Corporate Bond 30,000 units
 
29,475

Norfolk Southern Corporation 4.15% 02/28/2048
 
Corporate Bond 25,000 units
 
24,655

Valeant Pharmaceuticals International 9.25% 04/01/2026
 
Corporate Bond 19,000 units
 
20,473

MUFG Americas Holdings Corporation 2.25% Due 02/10/2020
 
Corporate Bond 20,000 units
 
20,000

Centene Corporation 4.75% Due 05/15/2022
 
Corporate Bond 19,000 units
 
19,048

McDonald's Corporation 3.35% 04/01/2023
 
Corporate Bond 15,000 units
 
14,970

Stryker Corporation 3.65% 03/07/2028
 
Corporate Bond 15,000 units
 
14,727

Anheuser-Busch 4.6% Due 04/15/2048
 
Corporate Bond 15,000 units
 
13,372

McKesson Corporation 3.95% Due 02/16/2028
 
Corporate Bond 8,000 units
 
7,764

Participant Self-Directed Brokerage Accounts
 
Various Investments
 
47,850


66


Supplemental Schedule
Amgen Retirement and Savings Plan
EIN: 95-3540776 Plan Number: #001
As of December 31, 2018
Schedule G, Part 1 – Schedule of Loans or Fixed Income Obligations
in Default or Classified as Uncollectible

Identity of obligor
 
Original
amount of
loan
(cost of
security)
 
Unpaid balance
at end of year
(fair value of
security)
 
Detailed description of loan including dates of making and maturity, interest rate, the type and value of collateral, any renegotiation of the loan and the terms of the renegotiation and other
material items (description of fixed income obligation)
 
Amount of
principal
overdue
 
Amount of
interest
overdue
Kaupthing Bank
 
$
183,033

 
$
775

 
Corporate Bonds 310,000 units due 2/28/2020
 
$

 
$



67


Supplemental Schedule
Amgen Retirement and Savings Plan
EIN: 95-3540776 Plan Number: #001
Year Ended December 31, 2018

Schedule H, line 4a – Schedule of Delinquent Participant Contributions
 
 
 
 
 
 
 
 
 
 
Participant
Contributions
Transferred
Late to Plan
 
Total that Constitute Nonexempt Prohibited Transactions
 
 
Check here if Late Participant Loan Repayments are included: ¨
 
Contributions
Not Corrected
 
Contributions
Corrected
Outside
VFCP1
 
Contributions
Pending
Correction in
VFCP1
 
Total Fully Corrected
Under VFCP1
and PTE2
2002-51
$
134,526

 
$

 
$
134,526

 
$

 
$

Note: In 2018, participant contributions of $134,526 were deposited into the Plan after the time period prescribed by the Department of Labor Regulations. The Company restored these amounts, along with lost earnings, to the Plan.
____________ 
1Voluntary Fiduciary Correction Program
2Prohibited Transaction Exemption

68


AMGEN RETIREMENT AND SAVINGS PLAN
INDEX TO EXHIBIT
 
  
Exhibit 23.1

69


SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
 
 
 
 
 Amgen Retirement and Savings Plan
 (Name of Plan)
 
 
 
 
 
 
 
Date:
June 17, 2019
 
 
By:
 
/s/ DAVID W. MELINE
 
 
 
 
 
 
David W. Meline
 
 
 
 
 
 
Executive Vice President and
 
 
 
 
 
 
Chief Financial Officer
 
 
 
 
 
 
Amgen Inc.

70
Exhibit


Exhibit 23.1

CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
We consent to the incorporation by reference in the Registration Statements (Form S-8 Nos. 33-39104, 333-144581 and 333-216719) pertaining to the Amgen Retirement and Savings Plan of Amgen Inc. of our report dated June 17, 2019, with respect to the financial statements and schedules of the Amgen Retirement and Savings Plan included in this Annual Report (Form 11-K) for the year ended December 31, 2018.

/s/ ERNST & YOUNG LLP
Los Angeles, California

June 17, 2019