ý | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
¨ | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
One Amgen Center Drive, | 91320-1799 | |
Thousand Oaks, California | (Zip Code) | |
(Address of principal executive offices) |
Audited Financial Statements: | |
Supplemental Schedules: | |
December 31, | ||||||||
2019 | 2018 | |||||||
Assets | ||||||||
Investments at fair value | $ | 5,518,634,156 | $ | 4,459,347,913 | ||||
Investments in fully benefit-responsive investment contracts at contract value | 362,338,602 | 334,140,140 | ||||||
Notes receivable from participants | 35,777,947 | 36,915,432 | ||||||
Other – principally due from broker | 6,958,954 | 12,500,546 | ||||||
Total assets | 5,923,709,659 | 4,842,904,031 | ||||||
Liabilities | ||||||||
Other – principally due to broker | 10,564,863 | 18,745,633 | ||||||
Total liabilities | 10,564,863 | 18,745,633 | ||||||
Net assets available for benefits | $ | 5,913,144,796 | $ | 4,824,158,398 |
Year Ended December 31, | ||||
2019 | ||||
Additions to (deductions from) net assets: | ||||
Employer contributions | $ | 179,147,842 | ||
Participant contributions | 153,491,729 | |||
Rollover contributions | 34,237,646 | |||
Interest and dividend income | 53,572,157 | |||
Net realized/unrealized gains | 1,070,614,453 | |||
Interest income on notes receivable from participants | 1,904,266 | |||
Benefits paid | (393,264,069 | ) | ||
Investment and administrative fees | (10,717,626 | ) | ||
Net increase | 1,088,986,398 | |||
Net assets available for benefits at beginning of year | 4,824,158,398 | |||
Net assets available for benefits at end of year | $ | 5,913,144,796 |
December 31, | |||||||
2019 | 2018 | ||||||
Synthetic investment contracts | $ | 271,487,681 | $ | 248,593,590 | |||
Insurance separate accounts contract | 90,850,921 | 85,546,550 | |||||
Total fully benefit-responsive investment contracts | $ | 362,338,602 | $ | 334,140,140 |
Fair value measurements at December 31, 2019, 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 | $ | 377,734,377 | $ | — | $ | — | $ | 377,734,377 | ||||||||
Cash and cash equivalents | 22,222,565 | — | — | 22,222,565 | ||||||||||||
Common and preferred stocks | 1,132,119,265 | 3,468,599 | — | 1,135,587,864 | ||||||||||||
Debt securities | — | 27,907 | — | 27,907 | ||||||||||||
Mutual funds | 316,496,761 | — | — | 316,496,761 | ||||||||||||
Collective trust funds | — | 3,237,602,155 | — | 3,237,602,155 | ||||||||||||
Self-directed brokerage accounts | 427,464,488 | 1,498,039 | — | 428,962,527 | ||||||||||||
Total assets at fair value | $ | 2,276,037,456 | $ | 3,242,596,700 | $ | — | $ | 5,518,634,156 |
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 |
December 31, | ||||||||
2019 | 2018 | |||||||
Net assets available for benefits per the financial statements | $ | 5,913,144,796 | $ | 4,824,158,398 | ||||
Adjustment to fair value for fully benefit-responsive investment contracts | 6,420,299 | (3,969,613 | ) | |||||
Amounts allocated to withdrawing participants | (3,099,317 | ) | (878,929 | ) | ||||
Deemed loans | (286,100 | ) | (347,317 | ) | ||||
Net assets per the Form 5500 | $ | 5,916,179,678 | $ | 4,818,962,539 |
Year Ended December 31, 2019 | ||||
Interest and dividend income | $ | 53,572,157 | ||
Net realized/unrealized gains | 1,070,614,453 | |||
Net investment income per the financial statements | 1,124,186,610 | |||
Adjustment from fair value to contract value for fully benefit-responsive investment contracts: | ||||
Less prior-year adjustment | 3,969,613 | |||
Add current-year adjustment | 6,420,299 | |||
Total net investment gain per the Form 5500 | $ | 1,134,576,522 |
Year Ended December 31, 2019 | ||||
Benefits paid | $ | (393,264,069 | ) | |
Investment and administrative fees | (10,717,626 | ) | ||
Total distributions per the financial statements | (403,981,695 | ) | ||
Amounts allocated to withdrawing participants at December 31, 2018 | 878,929 | |||
Amounts allocated to withdrawing participants at December 31, 2019 | (3,099,317 | ) | ||
Deemed loans at December 31, 2018 | 347,317 | |||
Deemed loans at December 31, 2019 | (286,100 | ) | ||
Total distributions per the Form 5500 | $ | (406,140,866 | ) |
Identity of Issue | Description of Investment | Current Value | ||||||||
Amgen stock* | Employer Securities 1,566,908 shares | $ | 377,734,377 | |||||||
377,734,377 | ||||||||||
Capital Preservation Asset Class: | ||||||||||
Wells Fargo Fixed Income Fund L* | Collective Trust Fund 12,080,537 units | 166,411,813 | ||||||||
Wells Fargo Fixed Income Fund F* | Collective Trust Fund 7,339,824 units | 109,935,150 | ||||||||
Metropolitan Life Contract* | Insurance separate accounts investment contract 775,5921 units | 92,411,938 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 28,869,307 units | 28,869,307 | ||||||||
Wells Fargo BlackRock Short Term Investment Fund S* | Collective Trust Fund 19,020,004 units | 19,050,751 | ||||||||
Wrapper Contracts* | — | |||||||||
Total Capital Preservation Asset Class | 416,678,959 | |||||||||
Emerging Markets Equity Asset Class: | ||||||||||
J.P. Morgan Emerging Markets Equity Focus Fund* | Collective Trust Fund 2,329,605 units | 61,315,196 | ||||||||
Blackrock FTSE RAFI Emerging Index Non Lendable Fund F* | Collective Trust Fund 4,113,036 units | 58,482,439 | ||||||||
NT Collective Emerging Markets Fund / Non Lending* | Collective Trust Fund 35,142 units | 6,859,287 | ||||||||
Total Emerging Markets Equity Asset Class | 126,656,922 | |||||||||
Fixed Income Asset Class: | ||||||||||
Metlife Core Plus Collective Fund* | Collective Trust Fund 12,232,925 units | 122,696,241 | ||||||||
Wellington Core Bond Plus Portfolio Collective Investment Trust II* | Collective Trust Fund 9,608,703 units | 122,510,964 | ||||||||
NT Collective Aggregate Bond Index Fund / Non Lending* | Collective Trust Fund 284,254 units | 43,411,246 | ||||||||
Schroder Global Strategic Bond Trust Class W* | Collective Trust Fund 3,417,193 units | 34,821,192 | ||||||||
Putnam Absolute Return Fixed Income Fund* | Collective Trust Fund 456,729 units | 34,821,033 | ||||||||
Interest Bearing Cash | Cash and Cash Equivalents 3,412,218 units | 3,412,218 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 134,227 units | 134,227 | ||||||||
Banc America Alternative Loan Trust Series 2004-6 Class 4A 15.0% Due 10-25-2048* | Corporate Bond 3,208 units | 3,316 | ||||||||
GMAC Mortgage Loan Trust 2003/J10 4.75% Due 01/25/2019 | Corporate Bond 1,396 units | 1,412 | ||||||||
Kaupthing Bank HF 02/28/2020 In Default | Corporate Bond 310,000 units | 775 | ||||||||
Residential Accredit Loans Inc. Mortgage Pass Thru 2004-QS3 Class CB 5 Due 03-25-2019 Reg | Corporate Bond 177 units | 168 | ||||||||
Fannie Mae Preassign 00464 Due 01/25/2036 | Government Bond 87 units | 86 | ||||||||
Indymac Mortgage Backed Securities, Inc. 4.75% Due 02/25/2019 | Corporate Bond 95 units | 68 | ||||||||
Interest-Only Federal Home Loan Mortgage Company Multiclass Series 3219 Class DI 6 04-15-2036 | Government Bond 161 units | 34 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Interest-Only Federal National Mortgage Association Preassign 00470 06-25-2033 | Government Bond 118 units | 28 | ||||||||
Morgan Stanley Capital I Trust Due 02/12/2044 | Corporate Bond 86,429 units | 28 | ||||||||
Interest-Only Federal National Mortgage Association 2009-18 2024 0325 03-25-2024 | Government Bond 493 units | 5 | ||||||||
Fannie Mae Real Estate Mortgage Investment Conduit Series 2009/9 5% Due 02/25/2024 | Government Bond 622 units | 5 | ||||||||
Total Fixed Income Asset Class | 361,813,046 | |||||||||
Fixed Income Index Asset Class: | ||||||||||
NT Collective Aggregate Bond Index Fund / Non Lending* | Collective Trust Fund 934,267 units | 142,681,249 | ||||||||
Total Fixed Income Index Asset Class | 142,681,249 | |||||||||
High Yield Asset Class: | ||||||||||
Blackrock Funds V High Yield Bond Portfolio Class K | Mutual Fund 9,253,550 units | 71,992,619 | ||||||||
Mackay Shields High Yield Bond CIT (Fund Code-2196)* | Collective Trust Fund 6,080,602 units | 71,872,713 | ||||||||
NT Collective Aggregate Bond Index Fund / Non Lending* | Collective Trust Fund 40,317 units | 6,157,243 | ||||||||
Exide Technologies 144A 7.25% Due 04-30-2027 | Corporate Bond 98,129 units | 14,719 | ||||||||
Exide Technologies | Common and Preferred Stock 14,878 shares | 10,902 | ||||||||
Exide Technologies 11.0% Due 04/30/2022 | Corporate Bond 9,077 units | 7,262 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 176 units | 176 | ||||||||
Total High Yield Asset Class | 150,055,634 | |||||||||
Inflation Protection Asset Class: | ||||||||||
NT Collective Treasury Inflation/Protected Securities Index Fund / Non Lending* | Collective Trust Fund 859,199 units | 130,177,192 | ||||||||
Total Inflation Protection Asset Class | 130,177,192 | |||||||||
International Growth Asset Class: | ||||||||||
Artisan International Fund* | Collective Trust Fund 3,537,194 units | 97,414,313 | ||||||||
Reliance Trust Instituitional Retirement Trust GQG Partners International Equity Fund Series 11 Class C | Collective Trust Fund 9,082,037 units | 96,542,058 | ||||||||
NT Collective EAFE Index Fund / Non Lending* | Collective Trust Fund 53,312 units | 18,399,015 | ||||||||
Interest Bearing Cash | Cash and Cash Equivalents 225 units | 225 | ||||||||
Total International Growth Asset Class | 212,355,611 | |||||||||
International Index Asset Class: | ||||||||||
NT Collective All Country World Index (ACWI) Ex/US Fund / Non Lending* | Collective Trust Fund 1,813,530 units | 302,424,184 | ||||||||
Total International Index Asset Class | 302,424,184 | |||||||||
International Value Asset Class: | ||||||||||
Dodge & Cox International Fund | Mutual Fund 1,713,219 units | 74,696,356 | ||||||||
Altrinsic International Equity Fund Class C* | Collective Trust Fund 5,494,255 units | 72,415,376 | ||||||||
NT Collective EAFE Index Fund / Non Lending* | Collective Trust Fund 23,692 units | 8,176,669 |
Identity of Issue | Description of Investment | Current Value | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 15,406 units | 15,406 | ||||||||
Total International Value Asset Class | 155,303,807 | |||||||||
Large Cap Growth Asset Class: | ||||||||||
NT Collective Russell 1000 Growth Index Fund / Non Lending* | Collective Trust Fund 61,564 units | 34,057,356 | ||||||||
Visa Inc. Class A | 156,337 shares | 29,375,722 | ||||||||
Amazon Inc. | 15,098 shares | 27,898,688 | ||||||||
Microsoft Corporation | 139,593 shares | 22,013,816 | ||||||||
salesforce.com, inc. | 134,326 shares | 21,846,781 | ||||||||
Intuit | 72,096 shares | 18,884,105 | ||||||||
Facebook, Inc. | 82,058 shares | 16,842,405 | ||||||||
UnitedHealth Group Inc. | 49,231 shares | 14,472,929 | ||||||||
ServiceNow, Inc. | 50,187 shares | 14,168,794 | ||||||||
Yum! Brands Inc. | 132,915 shares | 13,388,528 | ||||||||
Illumina, Inc. | 38,047 shares | 12,621,712 | ||||||||
Paypal Holdings Inc. | 110,844 shares | 11,989,995 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 11,936,600 units | 11,936,600 | ||||||||
Abbott Lab | 137,171 shares | 11,914,673 | ||||||||
Autodesk Inc. | 64,673 shares | 11,864,909 | ||||||||
Nike, Inc. Class B | 115,753 shares | 11,726,936 | ||||||||
Alphabet Inc. Class C | 8,668 shares | 11,589,289 | ||||||||
Mondelez International, Inc. | 209,731 shares | 11,551,983 | ||||||||
Adobe Systems Inc. | 33,492 shares | 11,045,997 | ||||||||
Workday Inc. Class A | 63,584 shares | 10,456,389 | ||||||||
Equinix Inc. | 17,715 shares | 10,340,246 | ||||||||
Match Group Inc. | 123,677 shares | 10,155,118 | ||||||||
Alphabet Inc. Class A | 7,413 shares | 9,928,898 | ||||||||
TJX Companies, Inc. | 156,872 shares | 9,578,604 | ||||||||
Becton Dickinson & Company | 33,909 shares | 9,222,231 | ||||||||
Ecolab Inc. | 47,449 shares | 9,157,183 | ||||||||
Danaher Corporation | 58,708 shares | 9,010,504 | ||||||||
Netflix, Inc. | 27,241 shares | 8,814,370 | ||||||||
Booking Holdings Inc. | 4,234 shares | 8,695,493 | ||||||||
FleetCor Technologies, Inc. | 29,746 shares | 8,558,513 | ||||||||
Alibaba Group Holding Limited | 38,839 shares | 8,237,752 | ||||||||
CoStar Group Inc. | 13,580 shares | 8,124,914 | ||||||||
Automatic Data Processing, Inc. | 43,721 shares | 7,454,431 | ||||||||
Regeneron Pharmaceuticals, Inc. | 19,377 shares | 7,275,676 | ||||||||
Edwards Lifesciences Corporation | 29,791 shares | 6,949,942 | ||||||||
Zoetis Inc. Class A | 50,406 shares | 6,671,234 | ||||||||
IHS Markit Limited | 85,110 shares | 6,413,039 | ||||||||
Linde PLC | 29,536 shares | 6,288,214 | ||||||||
Ulta Salon, Cosmetics & Fragrance, Inc. | 24,152 shares | 6,113,837 | ||||||||
Novo Nordisk A/S | 103,033 shares | 5,963,550 | ||||||||
The Estee Lauder Companies Inc. | 25,492 shares | 5,265,118 | ||||||||
Texas Instruments Inc. | 36,295 shares | 4,656,286 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Monster Beverage Corp | 71,375 shares | 4,535,881 | ||||||||
Align Technology, Inc. | 15,296 shares | 4,268,196 | ||||||||
Floor & Decor Holdings Inc. | 78,979 shares | 4,012,923 | ||||||||
Activision Blizzard Inc. | 51,786 shares | 3,077,124 | ||||||||
Sarepta Therapeutics Inc. | 22,818 shares | 2,944,435 | ||||||||
Mirati Therapeutics Inc. | 18,597 shares | 2,396,409 | ||||||||
Atlassian Corporation PLC Class A | 18,545 shares | 2,231,705 | ||||||||
Twilio Inc. Class A | 19,495 shares | 1,915,969 | ||||||||
Abiomed Inc. | 9,998 shares | 1,705,559 | ||||||||
Sea Limited | 25,900 shares | 1,041,698 | ||||||||
Total Large Cap Growth Asset Class | 530,652,659 | |||||||||
Large Cap Index Asset Class: | ||||||||||
NT Collective S&P 500 Index Fund – Non Lending* | Collective Trust Fund 104,835 units | 1,206,637,271 | ||||||||
Total Large Cap Index Asset Class | 1,206,637,271 | |||||||||
Large Cap Value Asset Class: | ||||||||||
Alphabet Inc. | Common and Preferred Stock 7,103 shares | 9,496,853 | ||||||||
NT Collective Russell 1000 Value Index Fund / Non Lending* | Collective Trust Fund 21,811 units | 9,146,672 | ||||||||
Skyworks Solutions Inc | Common and Preferred Stock 64,600 shares | 8,017,729 | ||||||||
Qorvo, Inc. | Common and Preferred Stock 64,766 shares | 7,527,752 | ||||||||
Airbus SE | Common and Preferred Stock 47,761 shares | 6,995,258 | ||||||||
CVS Health Corporation | Common and Preferred Stock 90,251 shares | 6,704,747 | ||||||||
Nvidia Corporation | Common and Preferred Stock 21,811 shares | 6,526,751 | ||||||||
National Oilwell Varco, Inc. | Common and Preferred Stock 258,912 shares | 6,485,746 | ||||||||
KKR & Company Inc. Class A | Common and Preferred Stock 205,492 shares | 5,994,202 | ||||||||
Anthem Inc. | Common and Preferred Stock 19,575 shares | 5,912,237 | ||||||||
Interest Bearing Cash | Cash and Cash Equivalents 5,370,427 units | 5,370,427 | ||||||||
Hilton Worldwide Holdings Inc. | Common and Preferred Stock 47,627 shares | 5,282,311 | ||||||||
Facebook, Inc. | Common and Preferred Stock 25,248 shares | 5,182,152 | ||||||||
Amazon Inc. | Common and Preferred Stock 2,777 shares | 5,131,452 | ||||||||
Mastercard Inc. Class A | Common and Preferred Stock 16,890 shares | 5,043,185 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 4,958,476 units | 4,958,476 | ||||||||
Swiss Re AG | Common and Preferred Stock 84,992 shares | 4,927,786 | ||||||||
Wells Fargo & Company* | Common and Preferred Stock 7,600 shares | 4,573,000 | ||||||||
The Charles Schwab Corporation | Common and Preferred Stock 43,899 shares | 4,541,980 | ||||||||
Microsoft Corporation | Common and Preferred Stock 28,726 shares | 4,530,090 | ||||||||
Marriott International Inc. Class A | Common and Preferred Stock 29,355 shares | 4,445,228 | ||||||||
Capital One Financial Corporation | Common and Preferred Stock 40,000 shares | 4,116,400 | ||||||||
Bank of America Corporation* | Common and Preferred Stock 112,500 shares | 3,962,250 | ||||||||
Visa Inc. Class A | Common and Preferred Stock 20,754 shares | 3,899,677 | ||||||||
Charter Communications, Inc. Class A | Common and Preferred Stock 8,000 shares | 3,880,640 | ||||||||
McKesson Corporation | Common and Preferred Stock 27,957 shares | 3,867,012 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Microsoft Corporation | Common and Preferred Stock 24,500 shares | 3,863,650 | ||||||||
FedEx Corporation | Common and Preferred Stock 25,400 shares | 3,840,734 | ||||||||
Comcast Corporation Class A | Common and Preferred Stock 81,100 shares | 3,647,067 | ||||||||
Cigna Corporation | Common and Preferred Stock 17,116 shares | 3,500,051 | ||||||||
AmerisourceBergen Corp. | Common and Preferred Stock 40,750 shares | 3,464,565 | ||||||||
Sanofi/Aventis | Common and Preferred Stock 66,100 shares | 3,242,920 | ||||||||
Bristol/Myers Squibb Company | Common and Preferred Stock 50,000 shares | 3,209,500 | ||||||||
Occidental Petroleum Corporation | Common and Preferred Stock 4,958,476 shares | 3,193,775 | ||||||||
Oracle Corporation | Common and Preferred Stock 27,738 shares | 3,134,721 | ||||||||
United Parcel Service Inc. Class B | Common and Preferred Stock 11,400 shares | 3,107,007 | ||||||||
Booking Holdings Inc. | Common and Preferred Stock 1,363 shares | 2,799,234 | ||||||||
S&P Global Inc. | Common and Preferred Stock 58,000 shares | 2,739,784 | ||||||||
Roche Holdings Ltd. | Common and Preferred Stock 64,766 shares | 2,687,626 | ||||||||
Everest Re Group Ltd | Common and Preferred Stock 9,576 shares | 2,651,020 | ||||||||
The Goldman Sachs Group Inc. | Common and Preferred Stock 20,700 shares | 2,621,202 | ||||||||
United Technologies Corporation | Common and Preferred Stock 27,800 shares | 2,620,800 | ||||||||
Johnson Controls International PLC | Common and Preferred Stock 64,200 shares | 2,613,582 | ||||||||
Novartis AG | Common and Preferred Stock 27,200 shares | 2,575,568 | ||||||||
Microchip Technology Inc. | Common and Preferred Stock 24,500 shares | 2,565,640 | ||||||||
HP Inc. | Common and Preferred Stock 122,800 shares | 2,523,540 | ||||||||
MetLife, Inc.* | Common and Preferred Stock 49,500 shares | 2,523,015 | ||||||||
Bank of New York Mellon Corporation | Common and Preferred Stock 48,300 shares | 2,430,939 | ||||||||
GlaxoSmithKline PLC | Common and Preferred Stock 50,500 shares | 2,372,995 | ||||||||
Brookfield Asset Management Inc. Voting Shares Class A | Common and Preferred Stock 40,439 shares | 2,337,374 | ||||||||
Booking Holdings Inc. | Common and Preferred Stock 1,100 shares | 2,259,103 | ||||||||
UnitedHealth Group Inc. | Common and Preferred Stock 7,600 shares | 2,234,248 | ||||||||
J.P. Morgan Chase & Company* | Common and Preferred Stock 15,500 shares | 2,160,700 | ||||||||
AstraZeneca PLC | Common and Preferred Stock 41,800 shares | 2,084,148 | ||||||||
TE Connectivity Limited | Common and Preferred Stock 1,700 shares | 1,983,888 | ||||||||
Hewlett Packard Enterprise Company | Common and Preferred Stock 124,100 shares | 1,968,226 | ||||||||
American Express Company | Common and Preferred Stock 14,500 shares | 1,805,105 | ||||||||
Baker Hughes | Common and Preferred Stock 69,900 shares | 1,791,537 | ||||||||
Schlumberger Limited | Common and Preferred Stock 10,034 shares | 1,575,840 | ||||||||
Truist Financial Corporation | Common and Preferred Stock 95,500 shares | 1,565,696 | ||||||||
Credit Acceptance Corporation | Common and Preferred Stock 3,039 shares | 1,344,241 | ||||||||
Celanese Corporation | Common and Preferred Stock 10,300 shares | 1,268,136 | ||||||||
Halliburton Company | Common and Preferred Stock 51,000 shares | 1,247,970 | ||||||||
Gilead Sciences Inc. | Common and Preferred Stock 18,500 shares | 1,202,130 | ||||||||
Juniper Networks, Inc. | Common and Preferred Stock 47,200 shares | 1,162,536 | ||||||||
Eli Lilly and Company | Common and Preferred Stock 8,800 shares | 1,156,584 | ||||||||
Apache Corporation | Common and Preferred Stock 43,981 shares | 1,125,474 | ||||||||
Dell Technologies Inc. Class C | Common and Preferred Stock 21,400 shares | 1,099,746 | ||||||||
Cognizant Tech Solutions Corporation Class A | Common and Preferred Stock 17,600 shares | 1,091,552 | ||||||||
Fox Corporation Class A | Common and Preferred Stock 29,300 shares | 1,086,151 | ||||||||
Hess Corporation LLC | Common and Preferred Stock 16,200 shares | 1,082,322 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Molson Coors Beverage Company Class B | Common and Preferred Stock 19,100 shares | 1,029,490 | ||||||||
Dish Network Corporation Class A | Common and Preferred Stock 28,600 shares | 1,014,442 | ||||||||
Concho Resources Inc. | Common and Preferred Stock 11,500 shares | 1,007,055 | ||||||||
Cisco Systems, Inc. | Common and Preferred Stock 20,900 shares | 1,002,364 | ||||||||
Medtronic PLC | Common and Preferred Stock 5,800 shares | 658,010 | ||||||||
National Oilwell Varco, Inc. | Common and Preferred Stock 24,000 shares | 601,200 | ||||||||
Alnylam Pharmaceuticals, Inc. | Common and Preferred Stock 5,000 shares | 575,850 | ||||||||
Maxim Integrated Products, Inc. | Common and Preferred Stock 9,100 shares | 559,741 | ||||||||
Mattel Inc. | Common and Preferred Stock 38,000 shares | 514,900 | ||||||||
Gap Inc. | Common and Preferred Stock 28,100 shares | 496,808 | ||||||||
Qurate Retail Inc. | Common and Preferred Stock 59,168 shares | 488,940 | ||||||||
Micro Focus International PLC | Common and Preferred Stock 32,705 shares | 458,851 | ||||||||
Aegon N.V.* | Common and Preferred Stock 99,400 shares | 450,282 | ||||||||
Sprint Corporation | Common and Preferred Stock 39,200 shares | 442,808 | ||||||||
Brighthouse Financial Inc. | Common and Preferred Stock 10,500 shares | 411,915 | ||||||||
Biomarin Pharmaceutical Inc. | Common and Preferred Stock 4,500 shares | 380,475 | ||||||||
Harley/Davidson | Common and Preferred Stock 9,500 shares | 353,305 | ||||||||
Fox Corporation Class B | Common and Preferred Stock 8,433 shares | 306,961 | ||||||||
Incyte Corporation | Common and Preferred Stock 3,500 shares | 305,620 | ||||||||
News Corporation Class A | Common and Preferred Stock 14,500 shares | 205,030 | ||||||||
State Street Corporation | Common and Preferred Stock 1,700 shares | 134,470 | ||||||||
Total Large Cap Value Asset Class | 260,480,172 | |||||||||
Participant Self-Directed Accounts | Various Investments | 428,962,527 | ||||||||
428,962,527 | ||||||||||
Real Estate Index Asset Class: | ||||||||||
Vanguard Real Estate Index Fund Institutional Shares | Mutual Fund 8,336,170 units | 169,807,785 | ||||||||
NT Collective Global Real Estate Index Fund - Non Lending* | Collective Trust Fund 47,231 units | 11,163,004 | ||||||||
Total Real Estate Index Asset Class | 180,970,789 | |||||||||
Small-Mid Cap Growth Asset Class: | ||||||||||
Interest Bearing Cash | Cash and Cash Equivalents 5,452,820 units | 5,452,820 | ||||||||
NT Collective Russell 2000 Growth Index Fund / Non Lending* | Collective Trust Fund 13,057 units | 5,217,881 | ||||||||
Clean Harbors Inc. | Common and Preferred Stock 37,896 shares | 3,249,582 | ||||||||
DEX Inc. | Common and Preferred Stock 11,736 shares | 2,567,133 | ||||||||
Logmein Inc. | Common and Preferred Stock 5,417 shares | 2,369,168 | ||||||||
RingCentral, Inc. Class A | Common and Preferred Stock 24,775 shares | 2,259,841 | ||||||||
On Semiconductor Corporation | Common and Preferred Stock 84,453 shares | 2,058,964 | ||||||||
Hanesbrands Inc. | Common and Preferred Stock 122,823 shares | 1,823,922 | ||||||||
Skechers USA Inc. Class A | Common and Preferred Stock 16,366 shares | 1,791,780 | ||||||||
Sally Beauty Holdings Inc. | Common and Preferred Stock 6,676 shares | 1,773,681 | ||||||||
Inspire Medical Systems Inc. | Common and Preferred Stock 23,195 shares | 1,721,301 |
Identity of Issue | Description of Investment | Current Value | ||||||||
SBV Financial Group | Common and Preferred Stock 15,733 shares | 1,675,943 | ||||||||
Crown Holdings Inc. | Common and Preferred Stock 22,909 shares | 1,661,819 | ||||||||
Sensata Technologies BV Holding | Common and Preferred Stock 17,871 shares | 1,588,249 | ||||||||
J2 Global Inc. | Common and Preferred Stock 9,014 shares | 1,578,264 | ||||||||
Burlington Stores Inc. | Common and Preferred Stock 6,784 shares | 1,546,956 | ||||||||
Keysight Technologies Inc. | Common and Preferred Stock 14,684 shares | 1,507,019 | ||||||||
Exact Sciences Corporation | Common and Preferred Stock 15,690 shares | 1,451,011 | ||||||||
CONMED Corporation | Common and Preferred Stock 12,613 shares | 1,410,512 | ||||||||
Masco Corporation | Common and Preferred Stock 1,990 shares | 1,400,972 | ||||||||
Q2 Holdings Inc. | Common and Preferred Stock 7,645 shares | 1,394,333 | ||||||||
Trinet Group Inc. | Common and Preferred Stock 3,559 shares | 1,385,417 | ||||||||
Kansas City Southern | Common and Preferred Stock 9,045 shares | 1,379,512 | ||||||||
Tandem Diabetes Care Inc. | Common and Preferred Stock 12,307 shares | 1,322,806 | ||||||||
Five9 Inc. | Common and Preferred Stock 19,108 shares | 1,253,103 | ||||||||
STERIS plc | Common and Preferred Stock 8,216 shares | 1,252,283 | ||||||||
Pinnacle Financial Partners | Common and Preferred Stock 19,335 shares | 1,237,440 | ||||||||
Rapid7 Inc. | Common and Preferred Stock 4,788 shares | 1,233,280 | ||||||||
TransUnion | Common and Preferred Stock 15,644 shares | 1,225,678 | ||||||||
Horizon Therapeutics PLC | Common and Preferred Stock 33,776 shares | 1,222,691 | ||||||||
Carmax Inc. | Common and Preferred Stock 13,822 shares | 1,211,775 | ||||||||
ABM Industrials Inc. | Common and Preferred Stock 31,371 shares | 1,183,000 | ||||||||
Cinemark Holdings Inc. | Common and Preferred Stock 34,901 shares | 1,181,399 | ||||||||
Solarwinds Corporation | Common and Preferred Stock 13,919 shares | 1,165,255 | ||||||||
AAR Corporation | Common and Preferred Stock 25,773 shares | 1,162,362 | ||||||||
Nuance Communications Inc. | Common and Preferred Stock 64,349 shares | 1,147,343 | ||||||||
SS&C Technologies Holdings Inc. | Common and Preferred Stock 8,216 shares | 1,139,093 | ||||||||
Mednax Inc. | Common and Preferred Stock 29,496 shares | 1,124,661 | ||||||||
Everbridge Inc. | Common and Preferred Stock 13,713 shares | 1,070,711 | ||||||||
Tyler Technologies Inc. | Common and Preferred Stock 27,949 shares | 1,067,771 | ||||||||
Biotelemetry Inc. | Common and Preferred Stock 23,038 shares | 1,066,659 | ||||||||
Ritchie Bros. Auctioneers Inc. | Common and Preferred Stock 3,954 shares | 1,064,086 | ||||||||
Polaris Inc. | Common and Preferred Stock 11,449 shares | 1,052,900 | ||||||||
Belden Inc. | Common and Preferred Stock 19,008 shares | 1,045,440 | ||||||||
Insulet Corporation | Common and Preferred Stock 6,072 shares | 1,039,526 | ||||||||
John Bean Technologies Corporation | Common and Preferred Stock 9,007 shares | 1,015,517 | ||||||||
Anaplan Inc. | Common and Preferred Stock 18,699 shares | 979,828 | ||||||||
Cimpress plc | Common and Preferred Stock 7,769 shares | 977,107 | ||||||||
Tennant Company | Common and Preferred Stock 8,169 shares | 958,961 | ||||||||
Chewy Inc. Class A | Common and Preferred Stock 32,483 shares | 942,007 | ||||||||
Middleby Corporation | Common and Preferred Stock 2,665 shares | 934,315 | ||||||||
Viavi Solutions Inc. NPV | Common and Preferred Stock 61,466 shares | 921,990 | ||||||||
Merit Medical Systems Inc. | Common and Preferred Stock 8,531 shares | 920,865 | ||||||||
Natera Inc. | Common and Preferred Stock 65,132 shares | 907,339 | ||||||||
Carter Inc. | Common and Preferred Stock 8,268 shares | 904,023 | ||||||||
Owens Corning | Common and Preferred Stock 13,192 shares | 859,063 | ||||||||
Cornerstone OnDemand Inc. | Common and Preferred Stock 14,623 shares | 856,177 | ||||||||
Syneos Health Inc. | Common and Preferred Stock 22,191 shares | 849,006 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Kirby Corporation | Common and Preferred Stock 6,036 shares | 847,222 | ||||||||
Frontdoor Inc. | Common and Preferred Stock 17,600 shares | 834,592 | ||||||||
Zebra Technologies Corporation | Common and Preferred Stock 3,261 shares | 832,990 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 831,482 units | 831,482 | ||||||||
Amedisys Inc. | Common and Preferred Stock 4,963 shares | 828,424 | ||||||||
2U Inc. | Common and Preferred Stock 34,392 shares | 825,064 | ||||||||
Lattice Semiconductor Company | Common and Preferred Stock 5,226 shares | 817,067 | ||||||||
Inphi Corporation | Common and Preferred Stock 10,604 shares | 784,908 | ||||||||
Papa Johns International Inc. | Common and Preferred Stock 12,281 shares | 775,545 | ||||||||
Shutterstock Inc. | Common and Preferred Stock 41,486 shares | 766,308 | ||||||||
Heartland Express Inc. | Common and Preferred Stock 36,196 shares | 761,926 | ||||||||
LHC Group Inc. | Common and Preferred Stock 27,632 shares | 719,934 | ||||||||
Penumbra Inc. | Common and Preferred Stock 4,313 shares | 708,497 | ||||||||
Axogen Inc. | Common and Preferred Stock 39,396 shares | 704,794 | ||||||||
Ambarella Inc. Shares | Common and Preferred Stock 11,488 shares | 695,713 | ||||||||
Lululemon Athletica Inc. | Common and Preferred Stock 4,627 shares | 689,450 | ||||||||
Crocs Inc. | Common and Preferred Stock 16,264 shares | 681,299 | ||||||||
Chegg Inc. | Common and Preferred Stock 17,890 shares | 678,210 | ||||||||
Grand Canyon Education Inc. | Common and Preferred Stock 7,066 shares | 676,852 | ||||||||
Haemonetics Corporation | Common and Preferred Stock 5,890 shares | 676,761 | ||||||||
Woodward Inc. | Common and Preferred Stock 5,606 shares | 663,975 | ||||||||
C.H. Robinson Worldwide Inc. | Common and Preferred Stock 8,437 shares | 659,773 | ||||||||
Tetra Tech Inc. | Common and Preferred Stock 14,317 shares | 653,093 | ||||||||
Trimble Inc. | Common and Preferred Stock 24,473 shares | 652,198 | ||||||||
Fireeye Inc. | Common and Preferred Stock 38,567 shares | 637,513 | ||||||||
Sea Limited | Common and Preferred Stock 15,733 shares | 632,781 | ||||||||
Nordson Corporation | Common and Preferred Stock 13,057 shares | 616,675 | ||||||||
Integra Lifesciences Holding Corporation | Common and Preferred Stock 16,842 shares | 592,416 | ||||||||
Gartner Inc. | Common and Preferred Stock 3,781 shares | 582,652 | ||||||||
Quidel Corporation | Common and Preferred Stock 22,015 shares | 573,604 | ||||||||
Teradyne, Inc. | Common and Preferred Stock 8,169 shares | 557,044 | ||||||||
Switch Inc. Class A | Common and Preferred Stock 14,275 shares | 554,950 | ||||||||
Matson Inc. | Common and Preferred Stock 40,470 shares | 538,560 | ||||||||
Under Armour Inc. Class C | Common and Preferred Stock 5,452,819 shares | 536,062 | ||||||||
Deciphera Pharmaceuticals Inc. | Common and Preferred Stock 8,563 shares | 532,961 | ||||||||
Roku Inc. Class A | Common and Preferred Stock 4,639 shares | 529,441 | ||||||||
Forward Air Corporation | Common and Preferred Stock 7,507 shares | 525,115 | ||||||||
Wolverine World Wide Inc. | Common and Preferred Stock 15,562 shares | 525,062 | ||||||||
Hamilton Lane Inc. Class A | Common and Preferred Stock 8,661 shares | 516,196 | ||||||||
Wisdomtree Investments Inc. | Common and Preferred Stock 105,414 shares | 510,204 | ||||||||
Immunomedics Inc. | Common and Preferred Stock 24,024 shares | 508,348 | ||||||||
Pinterest Inc. Class A | Common and Preferred Stock 22,575 shares | 500,428 | ||||||||
Graphic Packaging Holding Company | Common and Preferred Stock 30,045 shares | 500,249 | ||||||||
LPL Financial Holdings Inc. | Common and Preferred Stock 2,976 shares | 499,718 | ||||||||
Revance Therapeutics Inc. | Common and Preferred Stock 18,489 shares | 499,283 | ||||||||
NIC Inc. | Common and Preferred Stock 3,787 shares | 489,130 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Reata Pharmaceuticals Inc. Class A | Common and Preferred Stock 30,763 shares | 486,543 | ||||||||
Boot Barn Holdings Inc. | Common and Preferred Stock 10,850 shares | 483,151 | ||||||||
National Cinemedia Inc. | Common and Preferred Stock 3,464 shares | 474,812 | ||||||||
Prestige Consumer Healthcare Inc. | Common and Preferred Stock 3,496 shares | 463,685 | ||||||||
Heron Therapeutics Inc. | Common and Preferred Stock 19,629 shares | 461,282 | ||||||||
New Relic Inc. | Common and Preferred Stock 21,885 shares | 443,477 | ||||||||
Napco Security Technologies Inc. | Common and Preferred Stock 26,932 shares | 436,177 | ||||||||
Agios Pharmaceuticals Inc. | Common and Preferred Stock 9,116 shares | 435,289 | ||||||||
Kodiak Sciences Inc. | Common and Preferred Stock 42,689 shares | 434,290 | ||||||||
Freshpet Inc. | Common and Preferred Stock 7,292 shares | 430,884 | ||||||||
MSC Industrial Direct Inc. Class A | Common and Preferred Stock 14,841 shares | 421,698 | ||||||||
Floor & Decor Holdings Inc. | Common and Preferred Stock 8,275 shares | 420,453 | ||||||||
Nevro Corporation | Common and Preferred Stock 6,749 shares | 413,388 | ||||||||
Abiomed Inc. | Common and Preferred Stock 2,361 shares | 402,763 | ||||||||
Proofpoint Inc. | Common and Preferred Stock 3,615 shares | 401,271 | ||||||||
Cooper Companies Inc. | Common and Preferred Stock 1,234 shares | 396,472 | ||||||||
Wabtec Corporation | Common and Preferred Stock 5,040 shares | 392,112 | ||||||||
Viking Therapeutics Inc. | Common and Preferred Stock 48,491 shares | 388,898 | ||||||||
Pluralsight Inc. Class A | Common and Preferred Stock 10,353 shares | 388,516 | ||||||||
Neurocrine Biosciences Inc. | Common and Preferred Stock 3,517 shares | 372,345 | ||||||||
Manhattan Associates Inc. | Common and Preferred Stock 29,193 shares | 369,003 | ||||||||
Proto Labs Inc. | Common and Preferred Stock 17,197 shares | 367,103 | ||||||||
CarGurus Inc. Class A | Common and Preferred Stock 10,240 shares | 360,243 | ||||||||
Performance Food Group Company | Common and Preferred Stock 6,696 shares | 344,710 | ||||||||
Mirati Therapeutics Inc. | Common and Preferred Stock 2,537 shares | 343,412 | ||||||||
Bank Ozk | Common and Preferred Stock 11,225 shares | 342,419 | ||||||||
Paysoftware Inc. | Common and Preferred Stock 1,285 shares | 340,217 | ||||||||
Sage Therapeutics Inc. | Common and Preferred Stock 97,188 shares | 334,889 | ||||||||
Kennametal Inc. | Common and Preferred Stock 9,045 shares | 333,670 | ||||||||
Euronet Worldwide Inc. | Common and Preferred Stock 2,084 shares | 328,355 | ||||||||
FTI Consulting Inc. | Common and Preferred Stock 2,871 shares | 317,705 | ||||||||
Five Below, Inc. | Common and Preferred Stock 2,475 shares | 316,454 | ||||||||
CoStar Group Inc. | Common and Preferred Stock 527 shares | 315,304 | ||||||||
Masimo Corporation | Common and Preferred Stock 13,200 shares | 314,539 | ||||||||
Docusign Inc. | Common and Preferred Stock 4,205 shares | 311,633 | ||||||||
Universal Display Corporation | Common and Preferred Stock 1,500 shares | 309,105 | ||||||||
Summit Materials Inc. Class A | Common and Preferred Stock 37,446 shares | 300,853 | ||||||||
Crispr Therapeutics AG | Common and Preferred Stock 4,721 shares | 287,533 | ||||||||
Constellium SE Class A | Common and Preferred Stock 21,166 shares | 283,624 | ||||||||
Cryoport Inc. | Common and Preferred Stock 17,094 shares | 281,367 | ||||||||
Zynga Inc. | Common and Preferred Stock 45,941 shares | 281,159 | ||||||||
MKS Instruments, Inc. | Common and Preferred Stock 5,374 shares | 279,095 | ||||||||
Okta Inc. Class A | Common and Preferred Stock 2,406 shares | 277,580 | ||||||||
DBV Technologies | Common and Preferred Stock 24,547 shares | 262,653 | ||||||||
RealPage Inc. | Common and Preferred Stock 2,380 shares | 257,355 | ||||||||
Fox Factory Holding Corporation | Common and Preferred Stock 3,518 shares | 244,747 | ||||||||
Arrowhead Pharmaceuticals Inc. | Common and Preferred Stock 2,600 shares | 164,918 |
Identity of Issue | Description of Investment | Current Value | ||||||||
SmileDirectClub Inc. Class A | Common and Preferred Stock 62,817 shares | 143,039 | ||||||||
Acadia Pharmaceuticals Inc. | Common and Preferred Stock 3,034 shares | 129,795 | ||||||||
Rignet Inc. | Common and Preferred Stock 13,398 shares | 122,027 | ||||||||
Cerence Inc. | Common and Preferred Stock 4,388 shares | 99,300 | ||||||||
Endologix Inc. | Common and Preferred Stock 35,282 shares | 55,746 | ||||||||
Spectrum Pharmaceuticals Inc. | Common and Preferred Stock 18,552 shares | 50,665 | ||||||||
Total Small-Mid Cap Growth Asset Class | 132,903,732 | |||||||||
Small-Mid Cap Index Asset Class: | ||||||||||
NT Collective Extended Equity Market Index Fund / Non Lending* | Collective Trust Fund 2,021,801 units | 446,716,849 | ||||||||
Total Small-Mid Cap Index Asset Class | 446,716,849 | |||||||||
Small-Mid Cap Value Asset Class: | ||||||||||
NT Collective Russell 2000 Value Index Fund / Non Lending* | Collective Trust Fund 59,075 units | 19,541,210 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 7,887,223 units | 7,887,223 | ||||||||
Western Alliance Bancorporation | Common and Preferred Stock 107,515 shares | 6,128,355 | ||||||||
Entegris Inc. | Common and Preferred Stock 117,663 shares | 5,893,740 | ||||||||
Citigroup Inc. | Common and Preferred Stock 99,276 shares | 4,529,964 | ||||||||
Waste Connections Inc. | Common and Preferred Stock 49,862 shares | 4,526,971 | ||||||||
Interest Bearing Cash | Cash and Cash Equivalents 4,522,304 units | 4,522,304 | ||||||||
Citizens Financial Group, Inc. | Common and Preferred Stock 103,800 shares | 4,215,318 | ||||||||
FMC Corporation | Common and Preferred Stock 41,642 shares | 4,156,704 | ||||||||
Clean Harbors Inc. | Common and Preferred Stock 47,093 shares | 4,038,225 | ||||||||
Kosmos Energy Limited | Common and Preferred Stock 703,780 shares | 4,011,546 | ||||||||
KAR Auction Services Inc. | Common and Preferred Stock 180,447 shares | 3,931,940 | ||||||||
Woodward Inc. | Common and Preferred Stock 32,065 shares | 3,797,779 | ||||||||
Popular, Inc. | Common and Preferred Stock 64,500 shares | 3,789,375 | ||||||||
1st Horizon National Corporation | Common and Preferred Stock 222,061 shares | 3,677,330 | ||||||||
RPT Realty | Common and Preferred Stock 242,317 shares | 3,644,448 | ||||||||
Ameris Bancorp | Common and Preferred Stock 84,679 shares | 3,602,245 | ||||||||
IAA Spinco Inc. | Common and Preferred Stock 75,409 shares | 3,548,748 | ||||||||
Ametek Inc. | Common and Preferred Stock 35,406 shares | 3,531,394 | ||||||||
Cairn Energy PLC | Common and Preferred Stock 636,900 shares | 3,459,322 | ||||||||
Amphenol Corporation Class A | Common and Preferred Stock 31,330 shares | 3,390,846 | ||||||||
Synopsys Inc. | Common and Preferred Stock 24,273 shares | 3,378,802 | ||||||||
Goodyear Tire & Rubber Company | Common and Preferred Stock 215,000 shares | 3,344,325 | ||||||||
Bio/Rad Laboratories, Inc. Class A | Common and Preferred Stock 8,930 shares | 3,304,368 | ||||||||
Axis Capital Holdings Limited | Common and Preferred Stock 55,506 shares | 3,299,277 | ||||||||
CNO Financial Group, Inc. | Common and Preferred Stock 178,800 shares | 3,241,644 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Mellanox Technologies Limited | Common and Preferred Stock 27,350 shares | 3,204,873 | ||||||||
The Bank of N.T. Butterfield & Son Limited | Common and Preferred Stock 83,285 shares | 3,083,211 | ||||||||
UGI Corporation | Common and Preferred Stock 67,212 shares | 3,035,294 | ||||||||
RenaissanceRe Holdings Limited | Common and Preferred Stock 15,267 shares | 2,992,637 | ||||||||
Embraer SA | Common and Preferred Stock 149,600 shares | 2,915,704 | ||||||||
BWX Technologies Inc. | Common and Preferred Stock 46,782 shares | 2,904,227 | ||||||||
BorgWarner Inc. | Common and Preferred Stock 66,285 shares | 2,875,443 | ||||||||
Office Depot, Inc. | Common and Preferred Stock 1,004,400 shares | 2,752,056 | ||||||||
Helen Trustoy Limited | Common and Preferred Stock 15,069 shares | 2,709,256 | ||||||||
Royal Mail PLC | Common and Preferred Stock 452,600 shares | 2,695,233 | ||||||||
Knight-Swift Transportation Holdings Inc. | Common and Preferred Stock 75,080 shares | 2,690,867 | ||||||||
EnerSys | Common and Preferred Stock 35,549 shares | 2,660,132 | ||||||||
LKQ Corporation | Common and Preferred Stock 72,819 shares | 2,599,638 | ||||||||
Hewlett Packard Enterprise Company | Common and Preferred Stock 161,700 shares | 2,564,562 | ||||||||
Reliance Steel & Aluminum Company | Common and Preferred Stock 21,173 shares | 2,535,678 | ||||||||
TCF Financial Corporation | Common and Preferred Stock 53,489 shares | 2,503,285 | ||||||||
Amerco | Common and Preferred Stock 6,600 shares | 2,480,412 | ||||||||
Discovery Communications, Inc. Series C | Common and Preferred Stock 80,800 shares | 2,463,592 | ||||||||
Taylor Morrison Home Corporation | Common and Preferred Stock 110,572 shares | 2,417,104 | ||||||||
Apache Corporation | Common and Preferred Stock 94,100 shares | 2,408,019 | ||||||||
Ingredion Inc. | Common and Preferred Stock 25,766 shares | 2,394,950 | ||||||||
Dollar Tree Inc. | Common and Preferred Stock 25,095 shares | 2,360,185 | ||||||||
Quanta Services Inc. | Common and Preferred Stock 57,725 shares | 2,349,985 | ||||||||
Halozyme Therapeutics Inc. | Common and Preferred Stock 132,473 shares | 2,348,746 | ||||||||
Nvent Electric PLC | Common and Preferred Stock 89,099 shares | 2,279,152 | ||||||||
BMC Holdings Inc. | Common and Preferred Stock 79,398 shares | 2,277,929 | ||||||||
Brandywine Realty Trust | Common and Preferred Stock 144,386 units | 2,274,080 | ||||||||
Equitrans Midstream Corporation NPV | Common and Preferred Stock 167,431 units | 2,236,878 | ||||||||
Henry Schein Inc. | Common and Preferred Stock 32,746 shares | 2,184,813 | ||||||||
Vistra Energy Corporation | Common and Preferred Stock 94,200 shares | 2,165,658 | ||||||||
Charles River Laboratories International Inc. | Common and Preferred Stock 14,127 shares | 2,158,041 | ||||||||
Magna International Inc. | Common and Preferred Stock 39,300 shares | 2,155,212 | ||||||||
Catalent Inc. | Common and Preferred Stock 38,180 shares | 2,149,534 | ||||||||
Corning Inc. | Common and Preferred Stock 73,800 shares | 2,148,318 | ||||||||
Heico Corporation Class A | Common and Preferred Stock 23,560 shares | 2,109,327 | ||||||||
Arrow Electric Inc. | Common and Preferred Stock 24,300 shares | 2,059,182 | ||||||||
Jacobs Engineering Group Inc. | Common and Preferred Stock 22,508 shares | 2,021,894 | ||||||||
Fluor Corporation | Common and Preferred Stock 106,900 shares | 2,018,272 | ||||||||
NRG Energy, Inc. | Common and Preferred Stock 50,400 shares | 2,003,400 | ||||||||
Copart Inc. | Common and Preferred Stock 22,009 shares | 2,001,498 | ||||||||
STERIS plc | Common and Preferred Stock 13,127 shares | 2,000,817 | ||||||||
Hexcel Corporation | Common and Preferred Stock 27,213 shares | 1,994,985 | ||||||||
Coherent, Inc. | Common and Preferred Stock 11,978 shares | 1,992,540 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Nextier Oilfield Solutions Inc. | Common and Preferred Stock 297,075 shares | 1,990,403 | ||||||||
Bed Bath & Beyond Inc. | Common and Preferred Stock 113,700 shares | 1,967,010 | ||||||||
AXA Equitable Holdings, Inc. | Common and Preferred Stock 79,000 shares | 1,957,620 | ||||||||
Pacwest Bancorp Company | Common and Preferred Stock 51,120 shares | 1,956,362 | ||||||||
Centene Corporation | Common and Preferred Stock 30,900 shares | 1,942,683 | ||||||||
Keysight Technologies Inc. | Common and Preferred Stock 18,755 shares | 1,924,826 | ||||||||
Cboe Global Markets Inc. | Common and Preferred Stock 15,452 shares | 1,854,240 | ||||||||
Bunge Limited | Common and Preferred Stock 32,100 shares | 1,847,355 | ||||||||
Teradata Corporation | Common and Preferred Stock 65,998 shares | 1,766,766 | ||||||||
CNH Industrial NV | Common and Preferred Stock 156,300 shares | 1,719,300 | ||||||||
Navistar International Corporation | Common and Preferred Stock 58,700 shares | 1,698,778 | ||||||||
Cabot Corporation | Common and Preferred Stock 35,545 shares | 1,689,098 | ||||||||
Mid-American Apartment Communities Inc. | Common and Preferred Stock 12,794 shares | 1,687,017 | ||||||||
Adient PLC | Common and Preferred Stock 78,500 shares | 1,668,125 | ||||||||
Graco Inc. | Common and Preferred Stock 31,877 shares | 1,657,604 | ||||||||
Qorvo, Inc. | Common and Preferred Stock 13,855 shares | 1,610,367 | ||||||||
STAG Industrial Inc. | Common and Preferred Stock 49,976 shares | 1,577,742 | ||||||||
Huntsman Corporation | Common and Preferred Stock 64,925 shares | 1,568,588 | ||||||||
Tri Pointe Homes, Inc. | Common and Preferred Stock 100,000 shares | 1,558,000 | ||||||||
Reinsurance Group of America, Inc. | Common and Preferred Stock 9,500 shares | 1,549,070 | ||||||||
IDEX Corporation | Common and Preferred Stock 8,945 shares | 1,538,540 | ||||||||
News Corporation Class A | Common and Preferred Stock 108,700 shares | 1,537,018 | ||||||||
Advance Auto Parts Inc. | Common and Preferred Stock 9,502 shares | 1,521,840 | ||||||||
Healthcare Realty Trust | Common and Preferred Stock 45,361 shares | 1,513,697 | ||||||||
PPL Corporation | Common and Preferred Stock 42,100 shares | 1,510,548 | ||||||||
ViaSat, Inc. | Common and Preferred Stock 20,635 shares | 1,510,379 | ||||||||
Enstar Group Ltd. | Common and Preferred Stock 7,200 shares | 1,489,392 | ||||||||
LivaNova PLC | Common and Preferred Stock 19,435 shares | 1,465,982 | ||||||||
Parsley Energy Inc. Class A | Common and Preferred Stock 76,810 shares | 1,452,477 | ||||||||
Astronics Corporation | Common and Preferred Stock 50,387 shares | 1,408,317 | ||||||||
Servicemaster Global Holdings Inc. | Common and Preferred Stock 36,236 shares | 1,400,884 | ||||||||
Prosperity Bancshares Inc. | Common and Preferred Stock 19,146 shares | 1,376,406 | ||||||||
Whiting Petroleum Corporation | Common and Preferred Stock 186,900 shares | 1,371,846 | ||||||||
Old Republic International Corporation | Common and Preferred Stock 59,835 shares | 1,338,509 | ||||||||
Mscope Holding Company Inc. | Common and Preferred Stock 91,900 shares | 1,304,061 | ||||||||
Federal Signal Corporation | Common and Preferred Stock 37,684 shares | 1,215,309 | ||||||||
Materion Corporation | Common and Preferred Stock 20,088 shares | 1,194,232 | ||||||||
EQT Corporation | Common and Preferred Stock 106,648 shares | 1,162,463 | ||||||||
Discover Financial Services | Common and Preferred Stock 13,500 shares | 1,145,070 | ||||||||
Potlatchdeltic Corporation | Common and Preferred Stock 26,134 shares | 1,130,818 | ||||||||
Fabrinet | Common and Preferred Stock 17,425 shares | 1,129,837 | ||||||||
Kennametal Inc. | Common and Preferred Stock 30,370 shares | 1,120,349 | ||||||||
Deckers Outdoor Corporation | Common and Preferred Stock 6,508 shares | 1,098,941 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Teradyne, Inc. | Common and Preferred Stock 15,807 shares | 1,077,879 | ||||||||
Markel Corporation Holding Company | Common and Preferred Stock 938 shares | 1,072,293 | ||||||||
American Eagle Outfitters Inc. | Common and Preferred Stock 69,410 shares | 1,020,327 | ||||||||
Avnet, Inc. | Common and Preferred Stock 23,800 shares | 1,010,072 | ||||||||
Innospec Inc. | Common and Preferred Stock 9,740 shares | 1,007,506 | ||||||||
Sallie Mae Corporation | Common and Preferred Stock 111,000 shares | 989,010 | ||||||||
Albany International Corporation Class A | Common and Preferred Stock 12,947 shares | 982,936 | ||||||||
TD Ameritrade Holding Corporation | Common and Preferred Stock 19,470 shares | 967,659 | ||||||||
Texas Capital Bancshares, Inc. | Common and Preferred Stock 17,017 shares | 966,055 | ||||||||
Cypress Semiconductor Corporation | Common and Preferred Stock 40,535 shares | 945,682 | ||||||||
Bio-Techne Corporation | Common and Preferred Stock 4,268 shares | 936,869 | ||||||||
PPDC Energy Inc. | Common and Preferred Stock 35,615 shares | 932,045 | ||||||||
Apogee Enterprises, Inc. | Common and Preferred Stock 28,234 shares | 917,605 | ||||||||
Fifth Third Bancorp | Common and Preferred Stock 25,600 shares | 786,944 | ||||||||
Interpublic Group Companies Inc. | Common and Preferred Stock 32,900 shares | 759,990 | ||||||||
State Street Corporation | Common and Preferred Stock 9,600 shares | 759,360 | ||||||||
Colony Capital Inc. Class A | Common and Preferred Stock 154,900 shares | 735,775 | ||||||||
Ericsson, Inc. | Common and Preferred Stock 83,800 shares | 735,764 | ||||||||
Euronet Worldwide, Inc. | Common and Preferred Stock 4,550 shares | 716,898 | ||||||||
Avis Budget Group Inc. | Common and Preferred Stock 21,800 shares | 702,832 | ||||||||
Evercore Inc. | Common and Preferred Stock 9,400 shares | 702,744 | ||||||||
Viacom CBS Inc. NPV | Common and Preferred Stock 16,700 shares | 700,899 | ||||||||
Alleghany Corporation | Common and Preferred Stock 800 shares | 639,656 | ||||||||
Zimmer Biomet Holdings Inc | Common and Preferred Stock 4,200 shares | 628,656 | ||||||||
Jetblue Airways Corporation | Common and Preferred Stock 30,800 shares | 576,576 | ||||||||
Franks International NV | Common and Preferred Stock 110,400 shares | 570,768 | ||||||||
The Geo Group, Inc. | Common and Preferred Stock 34,300 shares | 569,723 | ||||||||
Halliburton Company | Common and Preferred Stock 23,000 shares | 562,810 | ||||||||
Lazard Limited Class A | Common and Preferred Stock 14,000 shares | 559,440 | ||||||||
National Oilwell Varco, Inc. | Common and Preferred Stock 21,700 shares | 543,585 | ||||||||
Cenovus Energy Inc. | Common and Preferred Stock 53,000 shares | 537,950 | ||||||||
Harley/Davidson | Common and Preferred Stock 14,400 shares | 535,536 | ||||||||
Murphy Oil Corporation | Common and Preferred Stock 19,900 shares | 533,320 | ||||||||
Livent Corporation | Common and Preferred Stock 58,489 shares | 500,081 | ||||||||
Stealthgas Inc. | Common and Preferred Stock 142,281 shares | 488,024 | ||||||||
Boise Cascade Company | Common and Preferred Stock 10,745 shares | 392,515 | ||||||||
Keycorp | Common and Preferred Stock 16,500 shares | 333,960 | ||||||||
Hess Corporation LLC | Common and Preferred Stock 3,600 units | 240,516 | ||||||||
Superior Energy Services Inc. | Common and Preferred Stock 24,890 shares | 124,699 | ||||||||
Total Small-Mid Cap Value Asset Class | 320,462,850 | |||||||||
Notes Receivable from Participants* | Interest Rate 4.25% - 10.26% | 35,491,847 | ||||||||
35,491,847 | ||||||||||
Identity of Issue | Description of Investment | Current Value | ||||||||
Other: | ||||||||||
BIF Money Fund* | Cash and cash equivalents 3,464,571 units | 3,464,571 | ||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 260,656 units | 260,656 | ||||||||
Total Other | 3,725,227 | |||||||||
Grand Total | $ | 5,922,884,904 |
* Indicates party-in-interest |
Identity of Issue | Description of Investment | Proceeds from Dispositions | ||||
Towd Point Mortgage Trust Variable Rate Series 19-1 Class A1 03-25-2058 | Asset Backed Securities 1,371,540 units | $ | 1,438,457 | |||
Towd Point Mortgage Trust 2018-4 Series 18-4 CLSA 1 Variable Rate Due 06-25-2058 BEO | Asset Backed Securities 1,332,945 units | 1,366,268 | ||||
Mill City Mortgage Loan Trust 2018-3 Senior 18-3CL A-1 Variable Rate 08-25-2058 | Asset Backed Securities 1,305,169 units | 1,340,886 | ||||
Collateralized Mortgage Obligation Residential Mortgage Loan Trust 2019-NQM2 Class A1 Variable Rate Due 04-25-2049 | Non-Government Backed C.M.O.s 1,309,532 units | 1,326,478 | ||||
Deephaven Residential Mortgage Trust Series 18-4A Class A1 Floating 10-25-2058 | Non-Government Backed C.M.O.s 1,033,060 units | 1,043,469 | ||||
JPMorgan Chase & Fixed 3.702% 05-06-2030 | Corporate Bonds 960,000 units | 1,028,630 | ||||
Morgan Stanley 4.431% 01-23-2030 | Corporate Bonds 815,000 units | 915,377 | ||||
Merrill Lynch & Company 7.75% Due 05-14-2038 | Corporate Bonds 565,000 units | 861,150 | ||||
Ameriquest Mortgage Securities Inc. 2005-R2 Asset Backed Pass-Thru Commingled Trust Fund Class M-4 04-25-2035 REG | Asset Backed Securities 765,000 units | 762,251 | ||||
Societe Generale Sub Note 144A Due 12-18-2023/12-18-2023 BEO | Corporate Bonds 700,000 units | 756,875 | ||||
Morgan Stanley 3.75% Due 02-25-2023 | Corporate Bonds 700,000 units | 731,879 | ||||
Goldman Sachs Floating Rate 4.017% Due 10-31-2038 | Corporate Bonds 645,000 units | 694,516 | ||||
Structured Asset Floating Rate 3.07525% Due 11-25-2035 | Asset Backed Securities 680,000 units | 674,900 | ||||
United Technologies Fixed 3.65% 08-16-2023 | Corporate Bonds 630,000 units | 666,686 | ||||
Morgan Stanley Capital 3.469% Due 08-11-2033 | Commercial Mortgage-Backed 650,000 units | 665,827 | ||||
Broadcom Inc. 4.75% Due 04-15-2029 | Corporate Bonds 620,000 units | 655,446 | ||||
Banc Of America Merrill Lynch Large Series 2015-200P Class A 3.218% 4-14-33 | Commercial Mortgage-Backed 600,000 units | 629,934 | ||||
Ford Motor Credit Company LLC 5.596% 01-07-2022 | Corporate Bonds 590,000 units | 613,444 | ||||
AT&T Inc. 6.5% Due 09-01-2037 | Corporate Bonds 470,000 units | 607,570 | ||||
Altria Group Inc. Fixed 4.4% Due 02-14-2026 | Corporate Bonds 560,000 units | 598,835 | ||||
Hess Corporation 6% Due 01-15-2040 | Corporate Bonds 505,000 units | 585,007 | ||||
Blue Cube Spinco 10% Due 10-15-2025 | Corporate Bonds 520,000 units | 582,056 |
Sempra Energy 2.4% Due 02-01-2020 | Corporate Bonds 575,000 units | 575,030 | ||||
Braskem Finance Limited Guaranteed Note 6.45% Due 02-03-2024 REG | Corporate Bonds 500,000 units | 551,875 | ||||
Comcast Corporation 3.7% 04-15-2024 | Corporate Bonds 510,000 units | 543,820 | ||||
Eni S.p.A 4% Due 09-12-2023 BEO | Corporate Bonds 510,000 units | 539,895 | ||||
Bayer US Finance II LLC 4.25% 12-15-2025 | Corporate Bonds 505,000 units | 539,520 | ||||
Municipal Electric Authority Georgia 7.055% 04-01-2057 BEO Taxable | Municipal/Provincial Bonds 380,000 units | 535,564 | ||||
Cf Industries Inc. 5.375% Due 03-15-2044 | Corporate Bonds 520,000 units | 523,654 | ||||
Anheuser Busch InBev Worldwide Inc. 4.15% 01-23-2025 | Corporate Bonds 480,000 units | 516,741 | ||||
IBM Corporation 3.5% 05-15-2029 REG | Corporate Bonds 480,000 units | 515,148 | ||||
Taco Bell Funding LLC 2018-1 Senior Securitized Note Class A-2-I 144A 4.3% Due 11-25-2048 BEO | Asset Backed Securities 496,250 units | 513,996 | ||||
Takeda 4.4% Due 11-26-2023 | Corporate Bonds 470,000 units | 506,176 | ||||
Americredit 3.36% Due 02-18-2025 | Asset Backed Securities 486,000 units | 495,018 | ||||
HCA Inc. 4.125% 06-15-2029 | Corporate Bonds 465,000 units | 487,639 | ||||
AT&T Inc. 4.125% Due 02-17-2026 | Corporate Bonds 450,000 units | 483,145 | ||||
Vistra Operations Company LLC 4.3% Due 07-15-2029 | Corporate Bonds 470,000 units | 482,223 | ||||
Takeda 5% Due 11-26-2028 | Corporate Bonds 410,000 units | 479,944 | ||||
Cenovus Energy Inc. Fixed 4.25% Due 04-15-2027 | Corporate Bonds 460,000 units | 478,253 | ||||
Time Warner Cable 4.5% Due 09-15-2042 | Corporate Bonds 480,000 units | 472,343 | ||||
Energy Transfer 6.25% Due 04-15-2049 | Corporate Bonds 420,000 units | 468,178 | ||||
Enterprise Products 4.2% Due 01-31-2050 | Corporate Bonds 420,000 units | 449,172 | ||||
Anheuser Busch 3.75% Due 07-15-2042 | Corporate Bonds 430,000 units | 445,070 | ||||
Caixabank S.A. 6.75%-France T1 Perpetuity EUR 200000 | Corporate Convertible Bonds 400,000 units | 438,900 | ||||
Bristol Myers 3.4% Due 07-26-2029 | Corporate Bonds 415,000 units | 438,768 | ||||
Viacom Inc. Floating Rate 6.25% Due 02-28-2057 | Corporate Bonds 400,000 units | 431,200 | ||||
Anthem Inc. 3.5% 08-15-2024 | Corporate Bonds 410,000 units | 429,703 | ||||
Validus Holdings Limited 8.875% Due 01-26-2040 | Corporate Bonds 260,000 units | 427,052 | ||||
Telefonica Emisiones S.A. U 4.895% 03-06-2048 | Corporate Bonds 380,000 units | 424,186 |
Occidental Petroleum Fixed 2.9% Due 08-15-2024 | Corporate Bonds 420,000 units | 423,143 | ||||
Nokia Corporation 6.625% Due 05-15-2039 | Corporate Bonds 360,000 units | 423,000 | ||||
Canadian Imperial Bank 3.5% Due 09-13-2023 | Corporate Bonds 400,000 units | 420,852 | ||||
Interest-Only Collateralized Mortgage Obligation Benchmark 2018-B1 Mortgage Trust Class X-A Variable 01-15-2051 REG | Commercial Mortgage-Backed 11,943,207 units | 420,576 | ||||
Anheuser Busch 5.8% Due 01-23-2059 | Corporate Bonds 310,000 units | 418,595 | ||||
AT&T Inc. 4.35% Due 06-15-2045 | Corporate Bonds 395,000 units | 415,088 | ||||
Micron Technology Inc. 4.975% 02-06-2026 | Corporate Bonds 385,000 units | 414,717 | ||||
Citigroup Inc. 4.65% Due 07-30-2045 | Corporate Bonds 340,000 units | 409,597 | ||||
Chesapeake Funding II LLC 2019-1 Note Class A-1 2.94% Due 04-15-2031 REG | Asset Backed Securities 404,207 units | 409,307 | ||||
National Oilwell Varco 2.6% Due 12-01-2022 | Corporate Bonds 400,000 units | 402,144 | ||||
Nelnet Student Loan Trust Senior 19-4A Class A Floating 09-26-2067 | Asset Backed Securities 400,000 units | 399,000 | ||||
Wells Fargo & Company 4.4% Due 06-14-2046 | Corporate Bonds 355,000 units | 398,619 | ||||
HSBC Holdings PLC 4.75%-France Sub Perpetuity EUR 200000 | Corporate Convertible Bonds 375,000 units | 397,031 | ||||
Energy Transfer 5.25% Due 04-15-2029 | Corporate Bonds 350,000 units | 395,053 | ||||
Sprint Capital Corporation 8.75% Due 03-15-2032 | Corporate Bonds 317,000 units | 390,639 | ||||
LCM XIII L.P./LLC Senior Securitized Note Class A-RR Floating 144A 3C7 Variable | Asset Backed Securities 390,000 units | 389,747 | ||||
B.A.T Capital Corporation Fixed 3.215% 09-06-2026 | Corporate Bonds 390,000 units | 385,085 | ||||
Recette CLO Limited Series 2015-1A Class A-R Floating 10-20-2027 | Asset Backed Securities 385,000 units | 385,004 | ||||
Verizon Communications 4.522% 09-15-2048 | Corporate Bonds 325,000 units | 384,272 | ||||
Synchrony Card 2.95% Due 03-15-2025 | Asset Backed Securities 371,000 units | 377,304 | ||||
Union Pacific Corporation 4.375% Due 09-10-2038 | Corporate Bonds 325,000 units | 374,045 | ||||
Anheuser Busch InBev Worldwide Inc. 5.45% 01-23-2039 | Corporate Bonds 290,000 units | 366,606 | ||||
Bank of America Corporation 3.366% Due 01-23-2026 | Corporate Bonds 350,000 units | 364,048 | ||||
Concho Resources Inc. 3.75% Due 10-01-2027 | Corporate Bonds 350,000 units | 363,777 | ||||
Broadcom Inc. Fixed 3.125% Due 04-15-2021 | Corporate Bonds 360,000 units | 363,453 | ||||
Citigroup Inc. 8.125% Due 07-15-2039 | Corporate Bonds 220,000 units | 360,688 | ||||
Tennessee Gas Pipeline Company 8.375 Due06-15-2032 BEO | Corporate Bonds 260,000 units | 360,009 |
TransOcean Sentry Limited 5.375% 05-15-2023 | Corporate Bonds 360,000 units | 359,550 | ||||
DuPont De Nemours Inc. 4.205% Due 11-15-2023 | Corporate Bonds 335,000 units | 358,991 | ||||
Diamond 1 Finance Corporation/Diamond 2 Bonds 144A 8.35% Due 07-15-2046 | Corporate Bonds 270,000 units | 356,116 | ||||
ING Bank N.V. Sub Note 144A 5.8% Due 09-25-2023 BEO | Corporate Bonds 320,000 units | 355,086 | ||||
Duke Energy 4.375% Due 03-30-2044 | Corporate Bonds 300,000 units | 353,983 | ||||
Comcast Corporation 4.049% Due 11-01-2052 | Corporate Bonds 315,000 units | 351,321 | ||||
Synchrony Card 2.34% Due 06-15-2025 | Asset Backed Securities 350,000 units | 350,848 | ||||
Discovery Communications LLC 5.3% 05-15-2049 | Corporate Bonds 315,000 units | 348,091 | ||||
Suzano Austria Fixed 5% Due 01-15-2030 | Corporate Bonds 330,000 units | 330,990 | ||||
Collateralized Mortgage Obligation DBCCRE 2014-ARCP Mortgage Trust Mortgage Commingled Trust Fund Class A 4.2382 Due 01-10-2034 | Commercial Mortgage-Backed 305,000 units | 325,268 | ||||
B.A.T. Capital Corporation 4.39% 08-15-2037 | Corporate Bonds 335,000 units | 324,595 | ||||
Anglo American Capital PLC Senior Note 144A 4.5% Due 03-15-2028 BEO | Corporate Bonds 305,000 units | 323,796 | ||||
HSBC Bank Usa 5.875 11-01-2034 | Corporate Bonds 250,000 units | 320,825 | ||||
Becton Dickinson & 3.363% Due 06-06-2024 | Corporate Bonds 305,000 units | 318,142 | ||||
Alibaba Group Holding 3.4% Due 12-06-2027 | Corporate Bonds 305,000 units | 316,160 | ||||
Bristol Myers Squibb Company 4.125% 06-15-2039 | Corporate Bonds 290,000 units | 316,094 | ||||
Industrias Penoles 4.15% Due 09-12-2029 | Corporate Bonds 310,000 units | 311,163 | ||||
Amazon Inc. Fixed 3.875% Due 08-22-2037 | Corporate Bonds 270,000 units | 310,642 | ||||
Petroleos 4.625% Due 09-21-2023 | Corporate Bonds 300,000 units | 308,700 | ||||
Dominion Energy Inc. Step Coupon Due 08-15-2024 | Corporate Bonds 300,000 units | 307,307 | ||||
Credit Suisse Group AG Floating Rate 2.593% Due 09-11-2025 | Corporate Bonds 310,000 units | 306,932 | ||||
Anheuser Busch InBev Worldwide Inc. 4.75% 01 23 2029 | Corporate Bonds 270,000 units | 306,651 | ||||
Bayer US Finance II 3.5% Due 06-25-2021 | Corporate Bonds 300,000 units | 306,008 | ||||
Qualcomm Inc. 2.6% Due 01-30-2023 | Corporate Bonds 300,000 units | 304,866 | ||||
Verizon Owner Trust Fixed 2.93% 09-20-2023 BEO | Asset Backed Securities 300,000 units | 304,605 | ||||
Cox Communications Inc. Note 4.8% Due 02-01-2035 BEO | Corporate Bonds 280,000 units | 304,421 |
Fifth Third Bank Cincinnati Ohio 2.875% Due 10-01-2021 | Corporate Bonds 300,000 units | 303,806 | ||||
Simon Property Group L Fixed 2.45% 09-13-2029 | Corporate Bonds 310,000 units | 303,292 | ||||
Barclays PLC 4.338% 05-16-2024 | Corporate Bonds 290,000 units | 303,098 | ||||
Santander Holdings 4.45% Due 12-03-2021 | Corporate Bonds 290,000 units | 302,895 | ||||
Charter 6.384% Due 10-23-2035 | Corporate Bonds 250,000 units | 302,709 | ||||
Public Service Company Of Colorado 2.25 Due 09-15-2022 BEO | Corporate Bonds 300,000 units | 302,475 | ||||
Waste Management Inc. 3.45% Due 06-15-2029 | Corporate Bonds 280,000 units | 302,379 | ||||
CVS Health Corporation 2.625% Due 08-15-2024 | Corporate Bonds 300,000 units | 301,334 | ||||
Exelon Corporation 2.85% Due 06-15-2020 | Corporate Bonds 300,000 units | 301,255 | ||||
Mitsubishi UFJ Finance Group Bonds 3.195% 07-18-2029 | Corporate Bonds 290,000 units | 299,655 | ||||
Americredit 2.28% Due 01-18-2024 | Asset Backed Securities 300,000 units | 299,402 | ||||
Lowes Companies Inc. 3.65% Due 04-05-2029 | Corporate Bonds 280,000 units | 299,384 | ||||
Great Plains Energy Inc. Step Down Due 06-15-2022 REG | Corporate Bonds 280,000 units | 298,866 | ||||
Kohls Corporation 5.55% Due 07-17-2045 | Corporate Bonds 290,000 units | 298,257 | ||||
Avnet Inc. 4.875% Due 12-01-2022 | Corporate Bonds 280,000 units | 298,004 | ||||
Enterprise Development Authority 12.0% Due 07-15-2024 | Corporate Bonds 270,000 units | 295,650 | ||||
Saudi Arabian Oil Company Fixed 2.875% 04-16-2024 | Corporate Bonds 290,000 units | 293,241 | ||||
BB&T Corporation 3.875% 03-19-2029 | Corporate Bonds 270,000 units | 292,611 | ||||
UBS Group Funding 2.65% 02-01-2022 BEO | Corporate Bonds 290,000 units | 292,459 | ||||
Vistra Operations Company LLC 3.55% Due 07-15-2024 | Corporate Bonds 290,000 units | 291,925 | ||||
Santander Holdings Fixed 3.7% Due 03-28-2022 | Corporate Bonds 280,000 units | 287,862 | ||||
Astrazeneca PLC 2.375% Due 06-12-2022 | Corporate Bonds 280,000 units | 281,989 | ||||
General Motors Company 5.2% Due 04-01-2045 | Corporate Bonds 285,000 units | 281,451 | ||||
Comcast Corporation 4.15% Due 10-15-2028 | Corporate Bonds 250,000 units | 278,750 | ||||
Discover Bank 4.65% 09-13-2028 | Corporate Bonds 250,000 units | 278,441 | ||||
Devon Financing Corporation 7.875% Due 09-30-2031 | Corporate Bonds 190,000 units | 270,096 | ||||
Svenska Handelsbanken AB 3.9% Due 11-20-2023 | Corporate Bonds 250,000 units | 266,050 |
CVS Health Corporation 3.25% Due 08-15-2029 | Corporate Bonds 260,000 units | 261,193 | ||||
Altria Group Inc. 3.875% Due 09-16-2046 | Corporate Bonds 285,000 units | 261,188 | ||||
Newmark Group Inc. Fixed 6.125% Due 11-15-2023 | Corporate Bonds 240,000 units | 260,360 | ||||
IHS Markit Limited 4.125% Due 08-01-2023 | Corporate Bonds 245,000 units | 257,814 | ||||
Alexandria Real 3.8% Due 04-15-2026 | Corporate Bonds 245,000 units | 257,148 | ||||
Enlink Midstream Partners L.P. 5.05% Due 04-01-2045 | Corporate Bonds 320,000 units | 256,000 | ||||
Marsh & McLennan Companies Inc. 4.75% 03-15-2039 | Corporate Bonds 205,000 units | 247,395 | ||||
Citigroup Inc. 4.65% Due 07-23-2048 | Corporate Bonds 200,000 units | 244,762 | ||||
Las Vegas Sands 3.2% Due 08-08-2024 | Corporate Bonds 240,000 units | 244,448 | ||||
Athene Global Funding 3% Due 07-01-2022 | Corporate Bonds 240,000 units | 244,223 | ||||
Fiserv Inc. 2.75% Due 07-01-2024 | Corporate Bonds 240,000 units | 244,170 | ||||
Wells Fargo & Company 4.15% Due 01-24-2029 | Corporate Bonds 220,000 units | 243,932 | ||||
CSC Holdings LLC 6.5% Due 02-01-2029 | Corporate Bonds 223,000 units | 242,858 | ||||
Fifth Third Bancorp 3.65% Due 01-25-2024 | Corporate Bonds 230,000 units | 242,448 | ||||
American Express Company Fixed 3.7% Due 08-03-2023 | Corporate Bonds 230,000 units | 242,320 | ||||
Fiserv Inc. 3.5% Due 07-01-2029 | Corporate Bonds 230,000 units | 241,987 | ||||
Fluor Corporation 4.25% 09-15-2028 | Corporate Bonds 240,000 units | 241,200 | ||||
Marvell Technology Group Limited 4.2% 06-22-2023 | Corporate Bonds 230,000 units | 241,070 | ||||
Encana Corporation 3.9% Due 11-15-2021 | Corporate Bonds 235,000 units | 240,745 | ||||
Midland Bank PLC 7.65% Due 05-01-2025 | Corporate Bonds 200,000 units | 240,122 | ||||
AXA Equitable Fixed 3.9% Due 04-20-2023 | Corporate Bonds 230,000 units | 240,060 | ||||
NVR Inc. 3.95 Due 09-15-2022 | Corporate Bonds 230,000 units | 239,866 | ||||
Daimler Finance North America LLC Note 144A2.2% Due 10-30-2021 BEO | Corporate Bonds 240,000 units | 238,549 | ||||
Occidental Petroleum Corporation 3.5% Due 08-15-2029/08-08-2019 REG | Corporate Bonds 235,000 units | 238,337 | ||||
PNC Financial Services Group Inc. 3.45% Due 04-23-2029 REG | Corporate Bonds 225,000 units | 238,130 | ||||
QVC Inc. 4.375% Due 03-15-2023 | Corporate Bonds 230,000 units | 238,070 | ||||
JPMorgan Chase & 4.203% Due 07-23-2029 | Corporate Bonds 220,000 units | 237,707 |
Broadcom Inc. Corporation 4.25% 04-15-2026 | Corporate Bonds 230,000 units | 237,569 | ||||
Royal Bank Of Scotland 3.875% Due 09-12-2023 | Corporate Bonds 230,000 units | 237,449 | ||||
Park Aerospace Holdings 5.25% 08-15-2022 | Corporate Bonds 225,000 units | 236,148 | ||||
Newell Brands Inc. 5% Due 11-15-2023 | Corporate Bonds 230,000 units | 236,145 | ||||
Amazon Inc. 5.2% 12-03-2025 | Corporate Bonds 200,000 units | 235,226 | ||||
Collateralized Mortgage Obligation MSCCG Trust 2015-ALDR 3.57714% Due 06-07-2035 BEO | Commercial Mortgage-Backed 225,000 units | 234,603 | ||||
1st Union Capital II Corporation Bond 7.95% Due 11-15-2029 BEO | Corporate Bonds 170,000 units | 233,763 | ||||
Sprint Corporation 7.875% Due 09-15-2023 | Corporate Bonds 210,000 units | 230,677 | ||||
Fortis Inc. 2.1% 10-04-2021 | Corporate Bonds 230,000 units | 229,242 | ||||
Tencent Holdings Limited Medium Term Notes 3.975% 04-11-2029 | Corporate Bonds 210,000 units | 224,793 | ||||
Vodafone Group PLC 4.875% Due 06-19-2049 REG | Corporate Bonds 205,000 units | 224,790 | ||||
Apple Inc. 3.45% Due 02-09-2045 | Corporate Bonds 210,000 units | 222,586 | ||||
GlaxoSmithKline 3.625% Due 05-15-2025 | Corporate Bonds 205,000 units | 220,031 | ||||
Mylan N.V. Fixed 3.95% Due 06-15-2026 | Corporate Bonds 210,000 units | 216,996 | ||||
United Technologies Corporation 4.45% 11-16-2038 | Corporate Bonds 180,000 units | 214,020 | ||||
Energy Transfer Operating 4.5% Due 04-15-2024 | Corporate Bonds 200,000 units | 213,188 | ||||
Standard Chartered PLC 7.5% Due 12-29-2049 BEO | Corporate Convertible Bonds 200,000 units | 211,250 | ||||
GlenCore Funding LLC 4.875% 03-12-2029 | Corporate Bonds 195,000 units | 210,713 | ||||
Rockies Express Pipeline LLC Fixed 4.95% 07-15-2029 BEO | Corporate Bonds 210,000 units | 208,987 | ||||
Actavis Funding Securities 3.85% Due 06-15-2024 | Corporate Bonds 200,000 units | 208,630 | ||||
Home Depot Inc. 2.95% Due 06-15-2029 | Corporate Bonds 200,000 units | 207,746 | ||||
Barclays PLC Floating Rate 3.932% Due 05-07-2025 | Corporate Bonds 200,000 units | 206,715 | ||||
TransCanada Pipelines Limited 6.1% 06-01-2040 | Corporate Bonds 160,000 units | 206,506 | ||||
Bristol Myers Squibb Company 2.9% 07-26-2024 | Corporate Bonds 200,000 units | 206,189 | ||||
Abbvie Inc. 4.4% Due 11-06-2042 | Corporate Bonds 200,000 units | 204,670 | ||||
Boc Aviation Private Limited Global Medium Term 3.5% 10-10-2024 | Corporate Bonds 200,000 units | 203,842 | ||||
Bank of New York Mellon 2.8% Due 05-04-2026 | Corporate Bonds 200,000 units | 203,568 |
McDonalds Corporation Medium Term Notes 3.35% 04-01-2023 | Corporate Bonds 195,000 units | 203,514 | ||||
Mizuho Financial Group Floating Rate 3.153% Due 07-16-2030 | Corporate Bonds 200,000 units | 203,364 | ||||
Banco Santander S 2.706% Due 06-27-2024 | Corporate Bonds 200,000 units | 202,195 | ||||
Cantor Fitzgerald L.P. Securitized Note 144A4.875% Due 05-01-2024 | Corporate Bonds 190,000 units | 200,569 | ||||
Collateralized Mortgage Obligation CAMB Commercial Mortgage Trust 2019-Life Class A Variable Rate 12-15-2037 | Commercial Mortgage-Backed 200,000 units | 200,312 | ||||
Anthem Inc. 4.375% 12-01-2047 | Corporate Bonds 185,000 units | 199,701 | ||||
Deutsche Bank AG N.Y. 3.15% Due 01-22-2021 | Corporate Bonds 200,000 units | 199,134 | ||||
UniCredit S.p.A 5.375%-France Sub Perpetuity EUR | Corporate Bonds 200,000 units | 195,225 | ||||
Collateralized Mortgage Obligation One Bryant Park Trust Series 2019-0BP Class A 2.51641% Due 09-13-2049 | Commercial Mortgage-Backed 200,000 units | 195,094 | ||||
Caixabank S.A. 5.25%-France Perpetuity EUR 200000 | Corporate Convertible Bonds 200,000 units | 194,000 | ||||
Banco Bilbao Vizcaya Argentaria S A 6.125% 12-31-2049 | Corporate Convertible Bonds 200,000 units | 191,750 | ||||
Valero Energy 4.5% Due 03-15-2028 | Corporate Bonds 175,000 units | 191,367 | ||||
Southern Company 3.25% Due 07-01-2026 | Corporate Bonds 185,000 units | 190,785 | ||||
UDR Inc. Medium Term Notes 3.0% 08-15-2031 | Corporate Bonds 190,000 units | 190,193 | ||||
Core Mortgage Series 2019-Core Class A 144A Floating 12-15-2031 | Commercial Mortgage-Backed 190,000 units | 190,000 | ||||
Commonwealth Edison Company 3.65% Due 06-15-2046 | Corporate Bonds 175,000 units | 189,037 | ||||
Bank Nova Of Scotia B.C. 4.5% Due 12-16-2025 | Corporate Bonds 175,000 units | 188,782 | ||||
Molson Coors 3% Due 07-15-2026 | Corporate Bonds 185,000 units | 186,938 | ||||
Centerpoint Energy 3.6% Due 11-01-2021 | Corporate Bonds 180,000 units | 184,784 | ||||
JPMorgan Chase & Fixed 5% 12-31-2049 | Corporate Bonds 180,000 units | 184,027 | ||||
Wells Fargo & Company 3.069% Due 01-24-2023 | Corporate Bonds 180,000 units | 183,302 | ||||
Global Aircraft Leasing Company Limited 6.5% Due 09-15-2024/07-31-2019 BEO | Corporate Bonds 180,000 units | 182,250 | ||||
Cigna Corporation Corporation 3.2% 09-17-2020 | Corporate Bonds 180,000 units | 181,745 | ||||
Synchrony Financial 2.85% Due 07-25-2022 | Corporate Bonds 180,000 units | 181,515 | ||||
Collateralized Mortgage Obligation Commingled 2014-UBS2 Mortgage Trust Commercial Mortgage Class A-5 3.961 Due 03-10-2047 REG | Commercial Mortgage-Backed 170,000 units | 181,376 | ||||
JPMorgan Chase & Company 3.875 09-10-2024 | Corporate Bonds 170,000 units | 180,884 |
JPMorgan Chase & Company 4.452% 12-05-2028 | Corporate Bonds 160,000 units | 180,867 | ||||
Mutual Omaha Insurance Company Floating Rate 4.297% Due 07-15-2054 | Corporate Bonds 180,000 units | 180,344 | ||||
American Express Company 2.2% Due 10-30-2020 | Corporate Bonds 180,000 units | 180,268 | ||||
UnitedHealth Group 3.7% Due 08-15-2049 | Corporate Bonds 170,000 units | 179,989 | ||||
Abbvie Inc. 3.75% Due 11-14-2023 | Corporate Bonds 170,000 units | 178,782 | ||||
World Financial Network Credit Card Master Series-19-A Class-A 3.14% 12-15-2025 REG | Asset Backed Securities 175,000 units | 178,500 | ||||
OnCor Electric Delivery Company LLC 5.75% 03-15-2029 | Corporate Bonds 140,000 units | 177,175 | ||||
Wells Fargo & Company Floating Rate 3.196% Due 06-17-2027 | Corporate Bonds 170,000 units | 175,657 | ||||
Williams Partners 5.8 Due 11-15-2043 | Corporate Bonds 150,000 units | 174,253 | ||||
Western Gas Partners 5.5% Due 08-15-2048 | Corporate Bonds 195,000 units | 173,553 | ||||
Collateralized Mortgage Obligation Cali Mortgage Trust Series 2019-101C Class A 3.957% 03-10-2039 BEO | Commercial Mortgage-Backed 155,000 units | 171,523 | ||||
Morgan Stanley 4.3% Due 01-27-2045 | Corporate Bonds 150,000 units | 170,175 | ||||
Fox Corporation 4.03% Due 01-25-2024 BEO | Corporate Bonds 160,000 units | 170,123 | ||||
NXP Funding 4.875% Due 03-01-2024 | Corporate Bonds 155,000 units | 168,004 | ||||
Bank of America Corporation Fixed 4.078% 04-23-2040 | Corporate Bonds 150,000 units | 165,591 | ||||
Continental Resources Inc. 4.375% Due 01-15-2028 | Corporate Bonds 160,000 units | 165,245 | ||||
Kroger Company 5.4% Due 01-15-2049 | Corporate Bonds 145,000 units | 165,134 | ||||
American Express Credit Series 19-1 Class A 2.87% 10-15-2024 | Asset Backed Securities 160,000 units | 163,256 | ||||
Collateralized Mortgage Obligation Hudson Yards 2019-30Y Mortgage Trust 3.228% Due 06-10-2037 BEO | Commercial Mortgage-Backed 155,000 units | 162,471 | ||||
Conagra Brands Inc. 4.85% Due 11-01-2028 | Corporate Bonds 145,000 units | 161,144 | ||||
CCO Holdings Capital Corporation 5.375% 06-01-2029 | Corporate Bonds 151,000 units | 160,413 | ||||
NextEra Energy Capital 3.15% Due 04-01-2024 | Corporate Bonds 155,000 units | 160,088 | ||||
3M LIBOR/R 2.26% 04/11/2022 | Exchange Cleared Swaps - Other Assets 15,150,000 units | 159,735 | ||||
Collateralized Mortgage Obligation JPMorgan Chase Commercial Mortgage Series 2019-OSB Class A 3.3973% 06-05-2039 BEO | Commercial Mortgage-Backed 150,000 units | 159,686 | ||||
Daimler Finance North America LLC Note 144A2% Due 07-06-2021 BEO | Corporate Bonds 160,000 units | 158,517 | ||||
American International Group 3.9% Due 04-01-2026 | Corporate Bonds 150,000 units | 158,425 | ||||
Penske Truck Leasing Company Fixed 3.45%07-01-2024 BEO | Corporate Bonds 150,000 units | 155,884 |
Bank Of Montreal Medium 3.3% Due 02-05-2024 | Corporate Bonds 150,000 units | 155,547 | ||||
IPALCO Enterprises Fixed 3.7% Due 09-01-2024 | Corporate Bonds 150,000 units | 155,324 | ||||
Constellation 4.4% Due 11-15-2025 | Corporate Bonds 140,000 units | 154,786 | ||||
Comcast Corporation 3.15% Due 02-15-2028 | Corporate Bonds 150,000 units | 154,700 | ||||
Apple Inc. 2.9% Due 09-12-2027 | Corporate Bonds 150,000 units | 154,288 | ||||
B.A.T. Capital Corporation 4.758% Due 09-06-2049 | Corporate Bonds 160,000 units | 154,211 | ||||
Ford Motor Company 5.291% Due 12-08-2046 | Corporate Bonds 165,000 units | 152,441 | ||||
CVS Health Corporation 3.35% Due 03-09-2021 | Corporate Bonds 150,000 units | 152,399 | ||||
Carvana Auto Receivables Trust 2019-2 Note Class A-3 2.58% 03-15-2023 | Asset Backed Securities 150,000 units | 150,188 | ||||
Fiserv Inc. 3.2% Due 07-01-2026 | Corporate Bonds 145,000 units | 150,060 | ||||
Citizens Financial 2.85% Due 07-27-2026 | Corporate Bonds 150,000 units | 149,651 | ||||
BGC Partners Inc. Fixed 5.375% Due 07-24-2023 | Corporate Bonds 140,000 units | 149,544 | ||||
Cimarex Energy Company 4.375% 03-15-2029 | Corporate Bonds 140,000 units | 147,337 | ||||
Cenovus Energy Inc. 6.75% Due 11-15-2039 | Corporate Bonds 120,000 units | 146,713 | ||||
Bayer US Finance II LLC 4.4% Due 07-15-2044 BEO | Corporate Bonds 150,000 units | 146,414 | ||||
ERP Operating Limited 4.15% Due 12-01-2028 | Corporate Bonds 130,000 units | 145,709 | ||||
Cubesmart L.P. 4.375% Due 02-15-2029 | Corporate Bonds 130,000 units | 142,608 | ||||
OneMain Financial Issuance Series 19-1A Class A 3.48% Fixed 144A 02-14-2031 BEO | Asset Backed Securities 140,000 units | 140,875 | ||||
KKR Group Finance Company IIi LLC Senior Note 144A 5.125 Due 06-01-2044/05-29-2014 BEO | Corporate Bonds 120,000 units | 140,590 | ||||
BrixMor Operating 4.125% Due 05-15-2029 | Corporate Bonds 130,000 units | 138,714 | ||||
Microchip Tech Inc. Fixed 4.333% Due 06-01-2023 | Corporate Bonds 130,000 units | 136,523 | ||||
Citigroup Inc. Fixed 3.98% 03-20-2030 | Corporate Bonds 125,000 units | 134,683 | ||||
Total Capital International 3.455% 02-19-2029 | Corporate Bonds 125,000 units | 133,557 | ||||
Puget Energy Inc. 3.65% Due 05-15-2025 | Corporate Bonds 130,000 units | 133,061 | ||||
American Tower Corporation Fixed 3.95% Due 03-15-2029 | Corporate Bonds 125,000 units | 132,673 | ||||
Duke Energy 4.25% Due 12-15-2041 | Corporate Bonds 115,000 units | 132,634 | ||||
Morgan Stanley 3.625% Due 01-20-2027 | Corporate Bonds 125,000 units | 131,142 |
Bank of America Corporation Floating Rate 3.559% Due 04-23-2027 | Corporate Bonds 125,000 units | 130,964 | ||||
Lowes Companies Inc. 3.7% Due 04-15-2046 | Corporate Bonds 130,000 units | 130,908 | ||||
Tenet Healthcare 4.375% Due 10-01-2021 | Corporate Bonds 125,000 units | 130,813 | ||||
Sherwin-Williams 2.95% Due 08-15-2029 | Corporate Bonds 130,000 units | 130,246 | ||||
Kraft Foods Group 5% Due 06-04-2042 | Corporate Bonds 127,000 units | 129,239 | ||||
HCA Inc. 5.125% 06-15-2039 | Corporate Bonds 120,000 units | 128,244 | ||||
Microsoft Corporation 3.7% Due 08-08-2046 | Corporate Bonds 110,000 units | 125,194 | ||||
Antero Resources Corporation Fixed 5% Due 03-01-2025 | Corporate Bonds 144,000 units | 125,006 | ||||
GLP Capital L.P. 5.25% Due 06-01-2025 | Corporate Bonds 115,000 units | 124,681 | ||||
California State 7.55 Municipal Bonds Due 04-01-2039 USD5000 | Municipal/Provincial Bonds 75,000 units | 124,085 | ||||
Fidelity National Information Services Inc. 4.25% 05-15-2028 | Corporate Bonds 110,000 units | 122,697 | ||||
United Technologies 4.625% Due 11-16-2048 | Corporate Bonds 100,000 units | 122,494 | ||||
Avolon Holdings Funding 4.375% Due 05-01-2026 | Corporate Bonds 115,000 units | 118,945 | ||||
CSX Corporation 4.75% Due 11-15-2048 | Corporate Bonds 100,000 units | 117,827 | ||||
CSX Corporation 3.35% 09-15-2049 | Corporate Bonds 120,000 units | 117,232 | ||||
Canadian National Resources Limited Fixed 4.95% Due 06-01-2047 | Corporate Bonds 100,000 units | 115,863 | ||||
Burlington Northern Santa Fixed 3.55% Due 02-15-2050 | Corporate Bonds 110,000 units | 114,875 | ||||
Burlington Northern Santa 4.375% Due 09-01-2042 | Corporate Bonds 100,000 units | 114,526 | ||||
Rockies Express Pipeline LLC 6.875% Due 04-15-2040/03-22-2010 | Corporate Bonds 105,000 units | 113,928 | ||||
GLP Capital L.P. 4% Due 01-15-2030 | Corporate Bonds 115,000 units | 113,667 | ||||
AT&T Inc. 4.85% Due 03-01-2039 | Corporate Bonds 102,000 units | 113,102 | ||||
Texas Instruments Inc. 3.875% 03-15-2039 | Corporate Bonds 100,000 units | 112,284 | ||||
CVS Health Corporation 5.125% Due 07-20-2045 | Corporate Bonds 100,000 units | 112,220 | ||||
Tenet Healthcare Corporation 5.125% 11-01-2027 | Corporate Bonds 109,000 units | 112,106 | ||||
Marsh & McLennan 4.375% Due 03-15-2029 | Corporate Bonds 100,000 units | 111,598 | ||||
Capital One Financial Corporation 3.9% Due 01-29-2024 | Corporate Bonds 105,000 units | 110,933 | ||||
San Diego Gas & Electric Company 4.1% 06-15-2049 | Corporate Bonds 100,000 units | 110,932 |
Mass Mutual Life Insurance Company Surp Note 144A 8.875 Due 06-01-2039 BEO | Corporate Bonds 65,000 units | 110,625 | ||||
Brookfield Finance Inc. 4.85% 03-29-2029 | Corporate Bonds 100,000 units | 110,615 | ||||
AT&T Inc. 4.35% Due 03-01-2029 | Corporate Bonds 100,000 units | 109,693 | ||||
3M LIBOR/R 3.07% 11/21/2021 | Exchange Cleared Swap Liabilities 7,575,000 units | 109,089 | ||||
Abbvie Inc. 4.875% Due 11-14-2048 | Corporate Bonds 100,000 units | 108,240 | ||||
Enterprise Products Operating L.P. 3.125% Due 07-31-2029 | Corporate Bonds 105,000 units | 107,520 | ||||
Southwestern Public Service Company 3.75% 06-15-2049 | Corporate Bonds 100,000 units | 107,311 | ||||
Citigroup Inc. 4.4% Due 06-10-2025 | Corporate Bonds 100,000 units | 107,119 | ||||
Alexandria Real 4% Due 02-01-2050 | Corporate Bonds 100,000 units | 105,810 | ||||
Public Storage 3.385% 05-01-2029 | Corporate Bonds 100,000 units | 105,337 | ||||
Piedmont National Gas 3.5% Due 06-01-2029 | Corporate Bonds 100,000 units | 105,111 | ||||
Comerica Inc. 3.7% Due 07-31-2023 | Corporate Bonds 100,000 units | 104,711 | ||||
Waste Management Inc. 3.2% Due 06-15-2026 | Corporate Bonds 100,000 units | 104,691 | ||||
Kraft Heinz Foods 5% Due 07-15-2035 | Corporate Bonds 100,000 units | 104,524 | ||||
CSX Corporation 3.25% Due 06-01-2027 | Corporate Bonds 100,000 units | 104,351 | ||||
Noble Energy Inc. 5.05% Due 11-15-2044 | Corporate Bonds 95,000 units | 103,631 | ||||
Willis North America Inc. 2.95% Due 09-15-2029 | Corporate Bonds 105,000 units | 103,345 | ||||
Kraft Heinz Foods 3.95% Due 07-15-2025 | Corporate Bonds 100,000 units | 103,117 | ||||
Keycorp 2.55% 10-01-2029 BEO | Corporate Bonds 105,000 units | 102,706 | ||||
Public Service Enterprise Group Inc. 2.875% Due 06-15-2024 | Corporate Bonds 100,000 units | 102,601 | ||||
Select Income Real Estate Investment Trust 4.5% Due 02-01-2025 | Corporate Bonds 100,000 units | 102,398 | ||||
Scentre Group Trust 1/2 3.25% 10-28-2025 | Corporate Bonds 100,000 units | 101,569 | ||||
Royal Bank Of Canada Fixed 2.55% 07-16-2024 | Corporate Bonds 100,000 units | 101,354 | ||||
Morgan Stanley Floating Rate 2.72% Due 07-22-2025 | Corporate Bonds 100,000 units | 100,546 | ||||
Royal Bank Of Canada Fixed 2.8% 04-29-2022 | Corporate Bonds 100,000 units | 99,926 | ||||
Sunoco Logistics 5.95% Due 12-01-2025 | Corporate Bonds 87,000 units | 98,874 | ||||
3M LIBOR/R 2.28% 05/08/2022 | Exchange Cleared Swaps - Other Assets 8,910,000 units | 97,925 | ||||
Churchill Downs 5.5% Due 04-01-2027 | Corporate Bonds 92,000 units | 97,369 |
Vale Overseas Limited 6.875% Due 11-10-2039 | Corporate Bonds 75,000 units | 96,389 | ||||
Actavis Inc. 4.625% Due 10-01-2042 | Corporate Bonds 90,000 units | 93,377 | ||||
Boston Scientific 4% 03-01-2028 | Corporate Bonds 85,000 units | 93,165 | ||||
HCA Inc. 5.25% Due 06-15-2049 | Corporate Bonds 85,000 units | 91,788 | ||||
Commscope Finance LLC Senior Note 144A 6.0% 03-01-2026 | Corporate Bonds 87,000 units | 91,785 | ||||
United Air 2019-1 Aa Pass Thru Trust 4.15% 08-25-2031 | Corporate Bonds 85,000 units | 91,132 | ||||
Catalent Pharma 4.875% Due 01-15-2026 | Corporate Bonds 90,000 units | 90,225 | ||||
Berkshire Hathaway 3.25% Due 04-15-2028 | Corporate Bonds 85,000 units | 89,522 | ||||
Drive Auto 4.09% Due 06-15-2026 | Asset Backed Securities 85,000 units | 86,395 | ||||
Wellcare Health Plans Inc. 5.375% 08-15-2026 | Corporate Bonds 80,000 units | 85,668 | ||||
B.A.T. Capital Corporation 4.54% 08-15-2047 | Corporate Bonds 90,000 units | 83,829 | ||||
Westrock Company Inc. 4.65% 03-15-2026 | Corporate Bonds 75,000 units | 82,335 | ||||
Methanex Corporation 5.65% Due 12-01-2044 | Corporate Bonds 85,000 units | 82,123 | ||||
Targa Resources 4C1NATJ 01-22-2020 | Corporate Bonds 77,000 units | 82,003 | ||||
Commonspirit Health 3.347% Due 10-01-2029 | Corporate Bonds 80,000 units | 80,885 | ||||
Southern California Edison 2.85% Due 08-01-2029 | Corporate Bonds 80,000 units | 80,698 | ||||
John Deere Capital Corporation Medium Term 3.45% 03-07-2029 | Corporate Bonds 75,000 units | 79,844 | ||||
Evergy Inc. 2.9% Due 09-15-2029 | Corporate Bonds 80,000 units | 79,595 | ||||
American Tower Corporation 3.8% Due 08-15-2029 | Corporate Bonds 75,000 units | 78,876 | ||||
Interstate Power & Light Company 3.6% 04-01-2029 | Corporate Bonds 75,000 units | 78,808 | ||||
UDR Inc. Bond 3.75 Due 07-01-2024 BEO | Corporate Bonds 75,000 units | 78,799 | ||||
U.S. Bancorp Medium Fixed 3.375% Due 02-05-2024 | Corporate Bonds 75,000 units | 78,601 | ||||
Westpac Banking Corporation 3.3% Due 02-26-2024 | Corporate Bonds 75,000 units | 78,400 | ||||
Energy Transfer Fixed 4.25% Due 03-15-2023 | Corporate Bonds 75,000 units | 78,167 | ||||
Toronto Dominion Bank Fixed 3.25% 03-11-2024 REG | Corporate Bonds 75,000 units | 77,850 | ||||
Suntrust Bank Georgia Fixed 3.2% 04-01-2024 REG | Corporate Bonds 75,000 units | 77,529 | ||||
Viacom Inc. 4.375% Due 03-15-2043 | Corporate Bonds 75,000 units | 77,353 | ||||
Wisconsin Power & Light Company 3% Due 07-01-2029 | Corporate Bonds 75,000 units | 77,005 | ||||
Parker-Hannifin 3.25% Due 06-14-2029 | Corporate Bonds 75,000 units | 76,879 | ||||
Canadian Imperial Bank Commingled Fixed 3.1% 04-02-2024 REG | Corporate Bonds 75,000 units | 76,821 | ||||
UDR Inc. 3.2% 01-15-2030 | Corporate Bonds 75,000 units | 76,228 | ||||
EG Global Finance PLC 6.75% Due 02-07-2025 BEO | Corporate Bonds 78,000 units | 75,921 | ||||
Total Capital International 3.461% Due 07-12-2049 | Corporate Bonds 75,000 units | 75,878 | ||||
American Express Company 3% Due 02-22-2021 | Corporate Bonds 75,000 units | 75,758 | ||||
FirstEnergy Transmission LLC Senior Note 144A 4.55% 04-01-2049 | Corporate Bonds 65,000 units | 74,043 | ||||
Park Aerospace Holdings Limited Guaranteed 4.5% Due 03-15-2023 | Corporate Bonds 70,000 units | 72,119 | ||||
TCI-Flatiron CLO Floating Rate Series 16-1A Class AR 07-17-2028 | Asset Backed Securities 70,000 units | 70,042 | ||||
Tyson Foods Inc. 4% Due 03-01-2026 | Corporate Bonds 65,000 units | 69,673 | ||||
Wells Fargo Bank N.A. Variable Rate 2.082% Due 09-09-2022 | Corporate Bonds 70,000 units | 69,568 | ||||
EQM Midstream 4.125% Due 12-01-2026 | Corporate Bonds 75,000 units | 69,269 | ||||
Intelsat Jackson Holdings S.A. 5.5 Due 08-01-2023 | Corporate Bonds 74,000 units | 68,418 | ||||
Tenet Healthcare Corporation 4.875% 01-01-2026 | Corporate Bonds 65,000 units | 66,440 | ||||
Waste Management Inc. Fixed 4.15% 07-15-2049 | Corporate Bonds 55,000 units | 64,094 |
Charter Communications Operating LLC/Charter 4.2% Due 03-15-2028 BEO | Corporate Bonds 61,000 units | 63,604 | ||||
Sabine Pass Fixed 4.2% Due 03-15-2028 | Corporate Bonds 60,000 units | 63,487 | ||||
American Water Capital Corporation 4.15% 06-01-2049 | Corporate Bonds 55,000 units | 63,112 | ||||
J.B. Hunt Transport 3.875% Due 03-01-2026 | Corporate Bonds 60,000 units | 62,999 | ||||
Abbott Labs 4.9% Due 11-30-2046 | Corporate Bonds 50,000 units | 62,929 | ||||
Texas Eastern Transmission L.P. 3.5% Due 01-15-2028 BEO | Corporate Bonds 60,000 units | 62,391 | ||||
Antero Resources Corporation 5.625% Due 06-01-2023 | Corporate Bonds 64,000 units | 61,930 | ||||
Oracle Corporation 4% 11-15-2047 | Corporate Bonds 55,000 units | 61,551 | ||||
Petro Canada 5.35% Due 07-15-2033 | Corporate Bonds 50,000 units | 60,407 | ||||
AT&T Inc. 5.55% Due 08-15-2041 | Corporate Bonds 50,000 units | 58,353 | ||||
Unum Group 4% Due 06-15-2029 | Corporate Bonds 55,000 units | 57,169 | ||||
HCA Inc. 5.875% Due 02-01-2029 | Corporate Bonds 55,000 units | 56,513 | ||||
Anheuser Busch 4.7% Due 02 01 2036 | Corporate Bonds 50,000 units | 56,306 | ||||
Global Payments Inc. 3.2% Due 08-15-2029 REG | Corporate Bonds 55,000 units | 55,775 | ||||
Edison International 5.75% Due 06-15-2027 | Corporate Bonds 50,000 units | 55,451 | ||||
Nutrien Limited Fixed 4.2% Due 04-01-2029 | Corporate Bonds 50,000 units | 55,075 | ||||
OneOK Inc. Fixed 3.4% 09-01-2029 | Corporate Bonds 55,000 units | 54,638 | ||||
CBS Corporation Fixed 4.2% Due 06-01-2029 | Corporate Bonds 50,000 units | 54,254 | ||||
Entergy Mississippi LLC 3.85% Due 06-01-2049 | Corporate Bonds 50,000 units | 54,051 | ||||
Schlumberger Holdings Corporation 4.3% Due 05-01-2029 BEO | Corporate Bonds 50,000 units | 54,050 | ||||
Smithfield Foods Inc. Fixed 5.2% 04-01-2029 BEO | Corporate Bonds 50,000 units | 54,038 | ||||
Consumers Energy Fixed 3.75% 02-15-2050 | Corporate Bonds 50,000 units | 53,853 | ||||
Starbucks Corporation 3.8% Due 08-15-2025 | Corporate Bonds 50,000 units | 53,393 | ||||
Fidelity National Information Services Inc. 3.75%05-21-2029 REG | Corporate Bonds 50,000 units | 53,298 | ||||
Bristol Myers Squibb Company 3.2% Due 06-15-2026 | Corporate Bonds 50,000 units | 52,002 | ||||
MPLX L.P. 4.5% 04-15-2038 | Corporate Bonds 50,000 units | 51,900 | ||||
Duke Energy Corporation 3.4% Due 06-15-2029 | Corporate Bonds 50,000 units | 51,534 | ||||
Apache Corporation 4.25% Due 01-15-2030 | Corporate Bonds 50,000 units | 51,391 | ||||
NRG Energy Inc. 4.45% Due 06-15-2029 | Corporate Bonds 50,000 units | 51,060 | ||||
Suntrust Bank 05-17-2019 Fixed 2.8% 05-17-2022 | Corporate Bonds 50,000 units | 50,672 | ||||
U.S. Bancorp Fixed 3% 07-30-2029 | Corporate Bonds 50,000 units | 50,600 | ||||
Kroger Company 2.65% Due 10-15-2026 | Corporate Bonds 50,000 units | 48,961 | ||||
Mylan N.V. Fixed 5.25% Due 06-15-2046 | Corporate Bonds 45,000 units | 47,948 | ||||
Boston Scientific 3.75% Due 03-01-2026 | Corporate Bonds 45,000 units | 47,672 | ||||
Churchill Downs 4.75% 01-15-2028 | Corporate Bonds 46,000 units | 47,093 | ||||
Marathon Oil Corporation 3.85% Due 06-01-2025 | Corporate Bonds 45,000 units | 46,787 | ||||
Bank of America Corporation 3.974% 02-07-2030 | Corporate Bonds 43,000 units | 46,402 | ||||
Citigroup Inc. Senior Note 3.352% 04-24-2025 | Corporate Bonds 45,000 units | 46,341 | ||||
Kraft Heinz Foods 5.2% Due 07-15-2045 | Corporate Bonds 45,000 units | 46,262 | ||||
Apache Corporation 5.1% Due 09-01-2040 | Corporate Bonds 45,000 units | 46,147 | ||||
Manulife Financial Corporation 4.9% Due 09-17-2020 | Corporate Bonds 45,000 units | 46,130 | ||||
Avolon Holdings Funding Limited 3.95% 07-01-2024 | Corporate Bonds 45,000 units | 45,920 | ||||
SS&C Technologies Inc. 144A 5.5% 03-28-2019 | Corporate Bonds 44,000 units | 45,815 | ||||
Phillips 66 2.45% Due 12-15-2024 | Corporate Bonds 45,000 units | 44,817 |
Westpac Banking Corporation Fixed 4.421% Due 07-24-2039 | Corporate Bonds 40,000 units | 43,073 | ||||
Life Storage L.P. Fixed 4% Due 06-15-2029 | Corporate Bonds 40,000 units | 41,956 | ||||
Bank Of Nova Scotia B.C. 3.4% 02-11-2024 | Corporate Bonds 40,000 units | 41,713 | ||||
Centennial Resources 6.875% Due 04-01-2027 | Corporate Bonds 39,000 units | 38,805 | ||||
USA Compression Partners L.P. 144A Fixed 6.875% 09-01-2027 BEO | Corporate Bonds 36,000 units | 37,591 | ||||
Pfizer Inc. 3.45% 03-15-2029 | Corporate Bonds 35,000 units | 37,331 | ||||
HCP Inc. 3.25% Due 07-15-2026 | Corporate Bonds 35,000 units | 36,006 | ||||
UnitedHealth Group 3.875% Due 08-15-2059 | Corporate Bonds 35,000 units | 35,800 | ||||
Hewlett Packard Step Coupon 6.35% Due 10-15-2045 | Corporate Bonds 30,000 units | 34,992 | ||||
Fox Corporation Guaranteed Senior Note 144A 4.709% Due 01-25-2029/01-25-2019 BEO | Corporate Bonds 30,000 units | 33,887 | ||||
HCA Inc. 5.375% Due 02-01-2025 | Corporate Bonds 31,000 units | 31,891 | ||||
PNC Financial Services 3.5% Due 01-23-2024 | Corporate Bonds 30,000 units | 31,475 | ||||
Community Health Systems Inc. Fixed 8% 03-15-2026 | Corporate Bonds 31,000 units | 31,042 | ||||
Duke Energy Fixed 3.7% Due 12-01-2047 | Corporate Bonds 30,000 units | 30,955 | ||||
Healthpeak Properties Inc. 3.5% Due 07-15-2029 | Corporate Bonds 30,000 units | 30,692 | ||||
Intel Corporation 4.1% Due 05-19-2046 | Corporate Bonds 25,000 units | 29,141 | ||||
Cleco Corporation Holdings 4.973% Due 05-01-2046 | Corporate Bonds 25,000 units | 28,616 | ||||
AEP Tex Inc. 4.15% Due 05-01-2049 | Corporate Bonds 25,000 units | 27,554 | ||||
Rogers Communications Inc. 4.35% 05-01-2049 REG | Corporate Bonds 25,000 units | 27,483 | ||||
Anheuser Busch InBev Finance Inc. 4.625 Due 02-01-2044 REG | Corporate Bonds 25,000 units | 27,450 | ||||
Consolidated Edison Company N.Y. Inc. 4.125% 05-15-2049 REG | Corporate Bonds 25,000 units | 27,338 | ||||
Reynolds American Inc. Fixed 5.85% Due 08-15-2045 | Corporate Bonds 25,000 units | 26,925 | ||||
Westrock Company Inc. 3.9% Due 06-01-2028 | Corporate Bonds 25,000 units | 25,921 | ||||
Celanese US Holdings Fixed 3.5% 05-08-2024 | Corporate Bonds 25,000 units | 25,735 | ||||
Enable Midstream Partners L.P. 4.4% Due 03-15-2027 REG | Corporate Bonds 25,000 units | 25,101 | ||||
TransOcean Poseidon Limited Senior Securitized Note 6.875% 02-01-2027 | Corporate Bonds 21,000 units | 21,906 | ||||
Principal Financial Group 3.7% Due 05-15-2029 | Corporate Bonds 20,000 units | 21,140 | ||||
Verizon 3.875% Due 02-08-2029 | Corporate Bonds 15,000 units | 16,306 | ||||
Appalachian Power Company Fixed 4.5% 03-01-2049 | Corporate Bonds 10,000 units | 11,484 | ||||
Boardwalk Pipelines L.P. 4.8% 05-03-2029 | Corporate Bonds 10,000 units | 10,434 | ||||
3.08%/R 3M LIBOR 11/21/2024 | Exchange Cleared Swaps - Other Assets 3,115,000 units | — | ||||
2.34%/R 3M LIBOR 04/11/2025 | Exchange Cleared Swaps - Other Assets 6,230,000 units | — | ||||
2.37%/R 3M LIBOR 05/08/2025 | Exchange Cleared Swaps - Other Assets 3,650,000 units | — | ||||
Participant Self-Directed Brokerage Accounts | Various Investments | 98,220 |
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 | $ | — | $ | — |
Amgen Retirement and Savings Plan (Name of Plan) | ||||||
Date: | June 16, 2020 | By: | /s/ PETER H. GRIFFITH | |||
Peter H. Griffith | ||||||
Executive Vice President and | ||||||
Chief Financial Officer | ||||||
Amgen Inc. |