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, | ||||||||||||||
2021 | 2020 | |||||||||||||
Assets | ||||||||||||||
Investments at fair value | $ | 6,436,111,194 | $ | 6,028,344,525 | ||||||||||
Investments in fully benefit-responsive investment contracts at contract value | 714,985,494 | 678,722,325 | ||||||||||||
Notes receivable from participants | 30,628,567 | 33,228,057 | ||||||||||||
Other – principally due from broker | 4,502,530 | 9,187,314 | ||||||||||||
Total assets | 7,186,227,785 | 6,749,482,221 | ||||||||||||
Liabilities | ||||||||||||||
Other – principally due to broker | 6,957,185 | 8,741,768 | ||||||||||||
Total liabilities | 6,957,185 | 8,741,768 | ||||||||||||
Net assets available for benefits | $ | 7,179,270,600 | $ | 6,740,740,453 |
Year Ended December 31, | ||||||||
2021 | ||||||||
Additions to (deductions from) net assets: | ||||||||
Employer contributions | $ | 192,549,554 | ||||||
Participant contributions | 170,659,097 | |||||||
Rollover contributions | 37,446,206 | |||||||
Interest and dividend income | 44,783,341 | |||||||
Net realized/unrealized gains | 637,968,589 | |||||||
Interest income on notes receivable from participants | 1,527,815 | |||||||
Benefits paid | (633,334,430) | |||||||
Investment and administrative fees | (13,070,025) | |||||||
Net increase | 438,530,147 | |||||||
Net assets available for benefits at beginning of year | 6,740,740,453 | |||||||
Net assets available for benefits at end of year | $ | 7,179,270,600 |
December 31, | |||||||||||
2021 | 2020 | ||||||||||
Synthetic investment contracts | $ | 533,077,342 | $ | 501,806,073 | |||||||
Insurance separate accounts contract | 181,908,152 | 176,916,252 | |||||||||
Total fully benefit-responsive investment contracts | $ | 714,985,494 | $ | 678,722,325 |
Fair value measurements at December 31, 2021, 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 | $ | 331,811,884 | $ | — | $ | — | $ | 331,811,884 | ||||||||||||||||||
Cash and cash equivalents | 49,649,048 | — | — | 49,649,048 | ||||||||||||||||||||||
Collective trust funds | — | 3,643,993,561 | — | 3,643,993,561 | ||||||||||||||||||||||
Common and preferred stocks | 1,546,823,788 | — | — | 1,546,823,788 | ||||||||||||||||||||||
Debt securities | — | 4,828 | — | 4,828 | ||||||||||||||||||||||
Mutual funds | 81,887,302 | — | — | 81,887,302 | ||||||||||||||||||||||
Self-directed brokerage accounts | 780,896,567 | 1,044,216 | — | 781,940,783 | ||||||||||||||||||||||
Total investments at fair value | $ | 2,791,068,589 | $ | 3,645,042,605 | $ | — | $ | 6,436,111,194 |
Fair value measurements at December 31, 2020, 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 | $ | 352,404,662 | $ | — | $ | — | $ | 352,404,662 | ||||||||||||||||||
Cash and cash equivalents | 32,090,680 | — | — | 32,090,680 | ||||||||||||||||||||||
Collective trust funds | — | 3,654,353,052 | — | 3,654,353,052 | ||||||||||||||||||||||
Common and preferred stocks | 1,259,896,607 | — | — | 1,259,896,607 | ||||||||||||||||||||||
Debt securities | 59 | 4,969 | — | 5,028 | ||||||||||||||||||||||
Mutual funds | 92,035,145 | — | — | 92,035,145 | ||||||||||||||||||||||
Self-directed brokerage accounts | 636,454,755 | 1,104,596 | — | 637,559,351 | ||||||||||||||||||||||
Total investments at fair value | $ | 2,372,881,908 | $ | 3,655,462,617 | $ | — | $ | 6,028,344,525 |
December 31, | ||||||||||||||
2021 | 2020 | |||||||||||||
Net assets available for benefits per the financial statements | $ | 7,179,270,600 | $ | 6,740,740,453 | ||||||||||
Adjustment to fair value for fully benefit-responsive investment contracts | 2,393,677 | 17,810,584 | ||||||||||||
Amounts allocated to withdrawing participants | (3,044,375) | (2,432,934) | ||||||||||||
Deemed loans | (384,631) | (337,488) | ||||||||||||
Net assets per the Form 5500 | $ | 7,178,235,271 | $ | 6,755,780,615 |
Year Ended December 31, 2021 | ||||||||
Interest and dividend income | $ | 44,783,341 | ||||||
Net realized/unrealized gains | 637,968,589 | |||||||
Net investment income per the financial statements | 682,751,930 | |||||||
Adjustment from fair value to contract value for fully benefit-responsive investment contracts: | ||||||||
Less prior-year adjustment | (17,810,584) | |||||||
Add current-year adjustment | 2,393,677 | |||||||
Total net investment gain per the Form 5500 | $ | 667,335,023 |
Year Ended December 31, 2021 | ||||||||
Benefits paid | $ | (633,334,430) | ||||||
Investment and administrative fees | (13,070,025) | |||||||
Total expenses per the financial statements | (646,404,455) | |||||||
Amounts allocated to withdrawing participants at December 31, 2020 | 2,432,934 | |||||||
Amounts allocated to withdrawing participants at December 31, 2021 | (3,044,375) | |||||||
Deemed loans at December 31, 2020 | 337,488 | |||||||
Deemed loans at December 31, 2021 | (384,631) | |||||||
Total expenses per the Form 5500 | $ | (647,063,039) |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
Amgen stock* | Employer Securities 1,474,916 shares | $ | 331,811,884 | |||||||||||||||||
$ | 331,811,884 | |||||||||||||||||||
Capital Preservation Asset Class: | ||||||||||||||||||||
Wells Fargo Fixed Income Fund L* | Collective Trust Fund 21,790,625 units | 317,243,168 | ||||||||||||||||||
Wells Fargo Fixed Income Fund F* | Collective Trust Fund 14,014,530 units | 217,778,788 | ||||||||||||||||||
Metropolitan Life Contract* | Insurance Separate Accounts Investment Contract 1,460,908 units | 182,357,216 | ||||||||||||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 51,299,735 units | 51,299,735 | ||||||||||||||||||
Wells Fargo BlackRock Short Term Investment Fund S* | Collective Trust Fund 37,867,822 units | 37,870,238 | ||||||||||||||||||
Wrapper Contracts | — | |||||||||||||||||||
Total Capital Preservation Asset Class | 806,549,145 | |||||||||||||||||||
Fixed Income Asset Class: | ||||||||||||||||||||
MetLife Core Plus Collective Fund* | Collective Trust Fund 16,606,811 units | 179,851,763 | ||||||||||||||||||
Wellington Core Bond Plus Portfolio Collective Investment Trust II* | Collective Trust Fund 13,448,169 units | 179,129,606 | ||||||||||||||||||
Schroder Global Strategic Bond Trust Class W* | Collective Trust Fund 4,557,016 units | 46,390,419 | ||||||||||||||||||
Putnam Absolute Return Fixed Income Fund* | Collective Trust Fund 604,008 units | 44,835,509 | ||||||||||||||||||
NT Collective Aggregate Bond Index Fund / Non Lending* | Collective Trust Fund 114,177 units | 18,437,263 | ||||||||||||||||||
Banc America Alternative Loan Trust Series 2004-6 Class 4A 15.0% Due 10-25-2048* | Corporate Bond 2,439 units | 2,605 | ||||||||||||||||||
Interest Bearing Cash | Cash and Cash Equivalents 2,022 units | 2,022 | ||||||||||||||||||
GMAC Mortgage Loan Trust 2003/J10 4.75% Due 01/25/2019 | Corporate Bond 1,396 units | 1,370 | ||||||||||||||||||
Kaupthing Bank HF 02/28/2020 In Default | Corporate Bond 310,000 units | 775 | ||||||||||||||||||
Total Fixed Income Asset Class | 468,651,332 | |||||||||||||||||||
Fixed Income Index Asset Class: | ||||||||||||||||||||
NT Collective Aggregate Bond Index Fund / Non Lending* | Collective Trust Fund 6,207,694 units | 1,002,418,500 | ||||||||||||||||||
Total Fixed Income Index Asset Class | 1,002,418,500 | |||||||||||||||||||
U.S. Equity Asset Class: | ||||||||||||||||||||
NT Collective Russell 3000 Index Fund / Non Lending* | Collective Trust Fund 1,445,032 units | 106,413,582 | ||||||||||||||||||
Amazon Inc. | Common and Preferred Stock 14,229 shares | 47,444,324 | ||||||||||||||||||
Interest Bearing Cash | Cash and Cash Equivalents 46,095,892 units | 46,095,892 | ||||||||||||||||||
Visa Inc. Class A | Common and Preferred Stock 192,841 shares | 41,790,573 | ||||||||||||||||||
Facebook, Inc. | Common and Preferred Stock 100,657 shares | 33,855,982 | ||||||||||||||||||
Microsoft Corporation | Common and Preferred Stock 72,522 shares | 24,390,599 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
Netflix, Inc. | Common and Preferred Stock 40,368 shares | 24,319,298 | ||||||||||||||||||
Intuit | Common and Preferred Stock 29,977 shares | 19,281,806 | ||||||||||||||||||
Mastercard Inc. Class A | Common and Preferred Stock 52,567 shares | 18,888,374 | ||||||||||||||||||
TransDigm Group Inc. | Common and Preferred Stock 28,227 shares | 17,960,276 | ||||||||||||||||||
CoStar Group Inc. | Common and Preferred Stock 222,683 shares | 17,598,637 | ||||||||||||||||||
Applovin Corporation Class A | Common and Preferred Stock 185,944 shares | 17,527,081 | ||||||||||||||||||
Sea Limited | Common and Preferred Stock 70,697 shares | 15,815,626 | ||||||||||||||||||
Match Group Inc. | Common and Preferred Stock 117,282 shares | 15,510,545 | ||||||||||||||||||
Heico Corporation Class A | Common and Preferred Stock 117,615 shares | 15,115,880 | ||||||||||||||||||
ServiceNow, Inc. | Common and Preferred Stock 23,115 shares | 15,004,178 | ||||||||||||||||||
Applied Materials Inc. | Common and Preferred Stock 95,000 shares | 14,949,200 | ||||||||||||||||||
Wayfair Inc. Class A | Common and Preferred Stock 71,787 shares | 13,637,376 | ||||||||||||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 13,626,293 units | 13,626,293 | ||||||||||||||||||
UnitedHealth Group Inc. | Common and Preferred Stock 27,040 shares | 13,577,866 | ||||||||||||||||||
Lam Research Corporation | Common and Preferred Stock 18,761 shares | 13,491,973 | ||||||||||||||||||
Qorvo, Inc. | Common and Preferred Stock 81,870 shares | 12,803,649 | ||||||||||||||||||
KKR & Company Inc. Class A | Common and Preferred Stock 169,936 shares | 12,660,232 | ||||||||||||||||||
Skyworks Solutions Inc | Common and Preferred Stock 80,902 shares | 12,551,136 | ||||||||||||||||||
Salesforce.com Inc. | Common and Preferred Stock 49,096 shares | 12,476,766 | ||||||||||||||||||
The Carlyle Group Inc. | Common and Preferred Stock 223,234 shares | 12,255,547 | ||||||||||||||||||
Alphabet Inc. | Common and Preferred Stock 4,132 shares | 11,956,314 | ||||||||||||||||||
STERIS plc | Common and Preferred Stock 49,063 shares | 11,942,425 | ||||||||||||||||||
American International Group Inc. | Common and Preferred Stock 209,643 shares | 11,920,301 | ||||||||||||||||||
Upstart Holdings Inc. | Common and Preferred Stock 78,150 shares | 11,824,095 | ||||||||||||||||||
Square Inc Class A | Common and Preferred Stock 71,988 shares | 11,626,782 | ||||||||||||||||||
Wells Fargo & Company* | Common and Preferred Stock 239,853 shares | 11,508,147 | ||||||||||||||||||
Ball Corporation | Common and Preferred Stock 116,875 shares | 11,251,556 | ||||||||||||||||||
General Electric | Common and Preferred Stock 117,048 shares | 11,057,525 | ||||||||||||||||||
Workday Inc. Class A | Common and Preferred Stock 39,417 shares | 10,767,936 | ||||||||||||||||||
Skechers USA Inc. Class A | Common and Preferred Stock 245,480 shares | 10,653,832 | ||||||||||||||||||
Danaher Corporation | Common and Preferred Stock 32,341 shares | 10,640,512 | ||||||||||||||||||
Entegris Inc. | Common and Preferred Stock 75,676 shares | 10,487,180 | ||||||||||||||||||
NRG Energy Inc. | Common and Preferred Stock 241,511 shares | 10,404,294 | ||||||||||||||||||
Lear Corporation | Common and Preferred Stock 55,702 shares | 10,190,681 | ||||||||||||||||||
Splunk Inc. | Common and Preferred Stock 87,659 shares | 10,143,899 | ||||||||||||||||||
Charles River Laboratories International Inc. | Common and Preferred Stock 26,467 shares | 9,972,236 | ||||||||||||||||||
Clean Harbors Inc. | Common and Preferred Stock 98,224 shares | 9,799,808 | ||||||||||||||||||
Alphabet Inc. Class C | Common and Preferred Stock 3,386 shares | 9,797,696 | ||||||||||||||||||
Catalent Inc. | Common and Preferred Stock 76,157 shares | 9,750,381 | ||||||||||||||||||
Yum! Brands Inc. | Common and Preferred Stock 69,352 shares | 9,630,219 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
salesforce.com, inc. | Common and Preferred Stock 37,746 shares | 9,592,391 | ||||||||||||||||||
Cognizant Technology Solutions Corporation Class A | Common and Preferred Stock 105,133 shares | 9,327,400 | ||||||||||||||||||
Thermo Fisher Corporation | Common and Preferred Stock 13,781 shares | 9,195,234 | ||||||||||||||||||
Paypal Holdings Inc. | Common and Preferred Stock 48,661 shares | 9,176,491 | ||||||||||||||||||
Wabtec Corporation | Common and Preferred Stock 97,404 shares | 8,971,882 | ||||||||||||||||||
Twilio Inc. Class A | Common and Preferred Stock 34,006 shares | 8,955,140 | ||||||||||||||||||
Edison International | Common and Preferred Stock 131,133 shares | 8,949,827 | ||||||||||||||||||
Uber Technologies Inc. | Common and Preferred Stock 208,325 shares | 8,735,067 | ||||||||||||||||||
Waste Connections Inc. | Common and Preferred Stock 63,754 shares | 8,687,758 | ||||||||||||||||||
Synopsys Inc. | Common and Preferred Stock 23,498 shares | 8,659,013 | ||||||||||||||||||
Abbott Lab | Common and Preferred Stock 61,488 shares | 8,653,821 | ||||||||||||||||||
Equinix Inc. | Common and Preferred Stock 10,222 shares | 8,646,176 | ||||||||||||||||||
Autodesk Inc. | Common and Preferred Stock 30,639 shares | 8,615,380 | ||||||||||||||||||
IHS Markit Limited | Common and Preferred Stock 63,319 shares | 8,416,361 | ||||||||||||||||||
Citigroup Inc. | Common and Preferred Stock 139,168 shares | 8,404,356 | ||||||||||||||||||
Walt Disney Company | Common and Preferred Stock 53,452 shares | 8,279,180 | ||||||||||||||||||
Atlassian Corporation PLC Class A | Common and Preferred Stock 21,034 shares | 8,020,054 | ||||||||||||||||||
Regeneron Pharmaceuticals, Inc. | Common and Preferred Stock 12,651 shares | 7,989,360 | ||||||||||||||||||
MSCI Inc. | Common and Preferred Stock 12,717 shares | 7,791,579 | ||||||||||||||||||
Nvidia Corporation | Common and Preferred Stock 26,280 shares | 7,729,211 | ||||||||||||||||||
Henry Schein Inc. | Common and Preferred Stock 97,351 shares | 7,547,623 | ||||||||||||||||||
Ametek Inc. | Common and Preferred Stock 51,281 shares | 7,540,358 | ||||||||||||||||||
Align Technology, Inc. | Common and Preferred Stock 11,329 shares | 7,445,192 | ||||||||||||||||||
FleetCor Technologies, Inc. | Common and Preferred Stock 33,053 shares | 7,398,584 | ||||||||||||||||||
Newell Brands Inc. | Common and Preferred Stock 334,971 shares | 7,315,767 | ||||||||||||||||||
Shopify Inc | Common and Preferred Stock 5,260 shares | 7,245,071 | ||||||||||||||||||
Equitable Holdings Inc. | Common and Preferred Stock 220,932 shares | 7,244,360 | ||||||||||||||||||
Western Alliance Bancorporation | Common and Preferred Stock 65,594 shares | 7,061,194 | ||||||||||||||||||
Amphenol Corporation Class A | Common and Preferred Stock 80,122 shares | 7,007,470 | ||||||||||||||||||
MetLife Inc.* | Common and Preferred Stock 111,292 shares | 6,954,637 | ||||||||||||||||||
FMC Corporation | Common and Preferred Stock 62,937 shares | 6,916,147 | ||||||||||||||||||
Baker Hughes Company | Common and Preferred Stock 285,320 shares | 6,864,799 | ||||||||||||||||||
American Express Company | Common and Preferred Stock 41,593 shares | 6,804,615 | ||||||||||||||||||
Halliburton Company | Common and Preferred Stock 292,700 shares | 6,694,049 | ||||||||||||||||||
Merit Medical Systems Inc. | Common and Preferred Stock 107,250 shares | 6,681,675 | ||||||||||||||||||
UGI Corporation | Common and Preferred Stock 143,440 shares | 6,585,330 | ||||||||||||||||||
Halozyme Therapeutics Inc. | Common and Preferred Stock 163,603 shares | 6,578,477 | ||||||||||||||||||
PVH Corporation | Common and Preferred Stock 61,570 shares | 6,566,441 | ||||||||||||||||||
Zoetis Inc. Class A | Common and Preferred Stock 26,840 shares | 6,549,765 | ||||||||||||||||||
Sensata Technologies BV Holding | Common and Preferred Stock 105,381 shares | 6,500,954 | ||||||||||||||||||
Intuitive Surgical, Inc. | Common and Preferred Stock 17,853 shares | 6,414,583 | ||||||||||||||||||
DEX Inc. | Common and Preferred Stock 11,824 shares | 6,348,897 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
Huntington Bancshares Inc. | Common and Preferred Stock 405,224 shares | 6,248,554 | ||||||||||||||||||
Gildan Activewear Inc. | Common and Preferred Stock 144,706 shares | 6,134,087 | ||||||||||||||||||
Dow Inc. | Common and Preferred Stock 107,301 shares | 6,086,113 | ||||||||||||||||||
Matson Inc. | Common and Preferred Stock 67,372 shares | 6,065,501 | ||||||||||||||||||
Charter Communications, Inc. Class A | Common and Preferred Stock 8,952 shares | 5,836,435 | ||||||||||||||||||
Linde PLC | Common and Preferred Stock 16,825 shares | 5,828,685 | ||||||||||||||||||
J2 Global Inc. | Common and Preferred Stock 52,238 shares | 5,791,105 | ||||||||||||||||||
Amdocs Limited | Common and Preferred Stock 75,138 shares | 5,623,328 | ||||||||||||||||||
LKQ Corporation | Common and Preferred Stock 93,108 shares | 5,589,273 | ||||||||||||||||||
Illumina, Inc. | Common and Preferred Stock 14,680 shares | 5,584,859 | ||||||||||||||||||
Hewlett Packard Enterprise Company | Common and Preferred Stock 353,520 shares | 5,575,010 | ||||||||||||||||||
On Semiconductor Corporation | Common and Preferred Stock 81,350 shares | 5,525,292 | ||||||||||||||||||
Voya Financial Inc. | Common and Preferred Stock 82,772 shares | 5,488,611 | ||||||||||||||||||
McKesson Corporation | Common and Preferred Stock 21,635 shares | 5,377,812 | ||||||||||||||||||
Snowflake Inc. Class A | Common and Preferred Stock 15,875 shares | 5,377,656 | ||||||||||||||||||
Mohawk Industries Inc. | Common and Preferred Stock 29,477 shares | 5,370,120 | ||||||||||||||||||
Trinet Group Inc. | Common and Preferred Stock 56,279 shares | 5,361,138 | ||||||||||||||||||
Capital One Financial Corporation | Common and Preferred Stock 36,776 shares | 5,335,830 | ||||||||||||||||||
Floor & Decor Holdings Inc. | Common and Preferred Stock 40,408 shares | 5,253,444 | ||||||||||||||||||
RingCentral, Inc. Class A | Common and Preferred Stock 28,035 shares | 5,252,357 | ||||||||||||||||||
Edwards Lifesciences Corporation | Common and Preferred Stock 40,146 shares | 5,200,914 | ||||||||||||||||||
Axis Capital Holdings Limited | Common and Preferred Stock 95,172 shares | 5,184,019 | ||||||||||||||||||
Fresenius Medical Care | Common and Preferred Stock 156,997 shares | 5,096,123 | ||||||||||||||||||
IDEX Corporation | Common and Preferred Stock 21,408 shares | 5,059,139 | ||||||||||||||||||
Sally Beauty Holdings Inc. | Common and Preferred Stock 272,188 shares | 5,024,590 | ||||||||||||||||||
Brown & Brown Inc. | Common and Preferred Stock 70,006 shares | 4,920,022 | ||||||||||||||||||
Warner Music Group Corporation Class A | Common and Preferred Stock 113,275 shares | 4,891,215 | ||||||||||||||||||
DoorDash Inc. Class A | Common and Preferred Stock 32,080 shares | 4,776,712 | ||||||||||||||||||
Sarepta Therapeutics Inc. | Common and Preferred Stock 52,331 shares | 4,712,407 | ||||||||||||||||||
Ritchie Bros. Auctioneers Inc. | Common and Preferred Stock 75,480 shares | 4,620,131 | ||||||||||||||||||
JP Morgan Chase & Company* | Common and Preferred Stock 29,161 shares | 4,617,644 | ||||||||||||||||||
Frontdoor Inc. | Common and Preferred Stock 122,929 shares | 4,505,348 | ||||||||||||||||||
Euronet Worldwide Inc. | Common and Preferred Stock 37,558 shares | 4,475,787 | ||||||||||||||||||
Keysight Technologies Inc. | Common and Preferred Stock 21,490 shares | 4,437,900 | ||||||||||||||||||
Ingredion Inc. | Common and Preferred Stock 45,780 shares | 4,424,179 | ||||||||||||||||||
C.H. Robinson Worldwide Inc. | Common and Preferred Stock 40,775 shares | 4,388,613 | ||||||||||||||||||
NOV Inc. | Common and Preferred Stock 322,722 shares | 4,372,883 | ||||||||||||||||||
Exxon Mobil Corporation | Common and Preferred Stock 71,323 shares | 4,364,254 | ||||||||||||||||||
BWX Technologies Inc. | Common and Preferred Stock 90,780 shares | 4,346,546 | ||||||||||||||||||
Goldman Sachs Group Inc. | Common and Preferred Stock 11,223 shares | 4,293,359 | ||||||||||||||||||
KAR Auction Services Inc. | Common and Preferred Stock 265,850 shares | 4,152,577 | ||||||||||||||||||
Airbnb Inc. Class A | Common and Preferred Stock 24,567 shares | 4,090,160 | ||||||||||||||||||
Hanesbrands Inc. | Common and Preferred Stock 243,963 shares | 4,079,061 | ||||||||||||||||||
Belden Inc. | Common and Preferred Stock 60,843 shares | 3,999,210 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
National Retail Properties Inc. | Common and Preferred Stock 83,009 shares | 3,990,243 | ||||||||||||||||||
Generac Holdings Inc. | Common and Preferred Stock 11,272 shares | 3,966,842 | ||||||||||||||||||
Zendesk Inc. | Common and Preferred Stock 37,765 shares | 3,938,512 | ||||||||||||||||||
Helen Trustoy Limited | Common and Preferred Stock 15,815 shares | 3,866,293 | ||||||||||||||||||
Middleby Corporation | Common and Preferred Stock 19,340 shares | 3,805,338 | ||||||||||||||||||
First American Financial Corporation | Common and Preferred Stock 48,574 shares | 3,799,944 | ||||||||||||||||||
Woodward Inc. | Common and Preferred Stock 33,902 shares | 3,710,913 | ||||||||||||||||||
Cabot Corporation | Common and Preferred Stock 65,262 shares | 3,667,724 | ||||||||||||||||||
UBS Group AG | Common and Preferred Stock 204,946 shares | 3,662,385 | ||||||||||||||||||
Syneos Health Inc. | Common and Preferred Stock 35,181 shares | 3,612,385 | ||||||||||||||||||
Textron Inc. | Common and Preferred Stock 46,550 shares | 3,593,660 | ||||||||||||||||||
Carter Inc. | Common and Preferred Stock 34,511 shares | 3,493,203 | ||||||||||||||||||
New Relic Inc. | Common and Preferred Stock 30,576 shares | 3,362,137 | ||||||||||||||||||
Bank of America Corporation* | Common and Preferred Stock 75,004 shares | 3,336,928 | ||||||||||||||||||
ASGN Inc. | Common and Preferred Stock 26,757 shares | 3,301,814 | ||||||||||||||||||
MACOM Technology Solutions Holdings Inc. | Common and Preferred Stock 41,927 shares | 3,282,884 | ||||||||||||||||||
FTI Consulting Inc. | Common and Preferred Stock 21,320 shares | 3,270,914 | ||||||||||||||||||
Trimble Inc. | Common and Preferred Stock 37,506 shares | 3,270,148 | ||||||||||||||||||
Pfizer Inc. | Common and Preferred Stock 55,126 shares | 3,255,190 | ||||||||||||||||||
Tennant Company | Common and Preferred Stock 40,004 shares | 3,241,924 | ||||||||||||||||||
Rogers Corporation | Common and Preferred Stock 11,834 shares | 3,230,682 | ||||||||||||||||||
Copart Inc. | Common and Preferred Stock 21,019 shares | 3,186,901 | ||||||||||||||||||
GlobalFoundries Inc. | Common and Preferred Stock 48,528 shares | 3,152,864 | ||||||||||||||||||
ACV Auctions Inc. Class A | Common and Preferred Stock 163,687 shares | 3,083,863 | ||||||||||||||||||
Quidel Corporation | Common and Preferred Stock 22,699 shares | 3,064,138 | ||||||||||||||||||
Kirby Corporation | Common and Preferred Stock 51,105 shares | 3,036,659 | ||||||||||||||||||
Dycom Industries Inc. | Common and Preferred Stock 31,731 shares | 2,975,099 | ||||||||||||||||||
Royal Dutch Shell PLC | Common and Preferred Stock 67,749 shares | 2,940,307 | ||||||||||||||||||
Grand Canyon Education Inc. | Common and Preferred Stock 34,288 shares | 2,938,824 | ||||||||||||||||||
Prosperity Bancshares Inc. | Common and Preferred Stock 40,291 shares | 2,913,039 | ||||||||||||||||||
Forward Air Corporation | Common and Preferred Stock 23,791 shares | 2,880,852 | ||||||||||||||||||
Graco Inc. | Common and Preferred Stock 35,559 shares | 2,866,767 | ||||||||||||||||||
8X8 Inc. | Common and Preferred Stock 170,204 shares | 2,852,619 | ||||||||||||||||||
LPL Financial Holdings Inc. | Common and Preferred Stock 17,572 shares | 2,813,101 | ||||||||||||||||||
HealthEquity Inc. | Common and Preferred Stock 63,397 shares | 2,804,683 | ||||||||||||||||||
2U Inc. | Common and Preferred Stock 138,322 shares | 2,776,123 | ||||||||||||||||||
Carvana Company Class A | Common and Preferred Stock 11,734 shares | 2,719,824 | ||||||||||||||||||
Alleghany Corporation | Common and Preferred Stock 3,988 shares | 2,662,349 | ||||||||||||||||||
Hologic Inc. | Common and Preferred Stock 34,175 shares | 2,616,438 | ||||||||||||||||||
Momentive Global Inc. | Common and Preferred Stock 123,469 shares | 2,611,369 | ||||||||||||||||||
Cloudflare Inc. | Common and Preferred Stock 19,762 shares | 2,598,703 | ||||||||||||||||||
Cardinal Health, Inc. | Common and Preferred Stock 49,914 shares | 2,570,072 | ||||||||||||||||||
Gartner Inc. | Common and Preferred Stock 7,686 shares | 2,569,584 | ||||||||||||||||||
Acadia Healthcare Company Inc. | Common and Preferred Stock 42,158 shares | 2,558,991 | ||||||||||||||||||
Mid-American Apartment Communities Inc. | Common and Preferred Stock 11,112 shares | 2,549,537 | ||||||||||||||||||
BankUnited Inc. | Common and Preferred Stock 60,154 shares | 2,545,116 | ||||||||||||||||||
Bottomline Technologies Inc. | Common and Preferred Stock 44,586 shares | 2,517,771 | ||||||||||||||||||
SS&C Technologies Holdings Inc. | Common and Preferred Stock 30,611 shares | 2,509,490 | ||||||||||||||||||
AerCap Holdings N.V. | Common and Preferred Stock 38,359 shares | 2,509,446 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
Cenovus Energy Inc. | Common and Preferred Stock 203,926 shares | 2,504,211 | ||||||||||||||||||
10X Genomics Inc. Class A | Common and Preferred Stock 16,632 shares | 2,477,503 | ||||||||||||||||||
AMN Healthcare Services Inc. | Common and Preferred Stock 20,132 shares | 2,462,748 | ||||||||||||||||||
Booking Holdings Inc. | Common and Preferred Stock 956 shares | 2,293,664 | ||||||||||||||||||
National Bank Holdings Corporation Class A | Common and Preferred Stock 52,188 shares | 2,293,141 | ||||||||||||||||||
Cohen & Steers Inc. | Common and Preferred Stock 24,628 shares | 2,278,336 | ||||||||||||||||||
Advanced Energy Industries Inc. | Common and Preferred Stock 24,932 shares | 2,270,308 | ||||||||||||||||||
Tronox Holdings PLC | Common and Preferred Stock 93,356 shares | 2,243,345 | ||||||||||||||||||
Mednax Inc. | Common and Preferred Stock 82,285 shares | 2,238,975 | ||||||||||||||||||
Chemed Corporation | Common and Preferred Stock 4,223 shares | 2,234,136 | ||||||||||||||||||
ALLETE Inc. | Common and Preferred Stock 33,300 shares | 2,209,455 | ||||||||||||||||||
Nasdaq Inc. | Common and Preferred Stock 10,520 shares | 2,209,305 | ||||||||||||||||||
Itron Inc. | Common and Preferred Stock 31,646 shares | 2,168,384 | ||||||||||||||||||
Signature Bank | Common and Preferred Stock 6,564 shares | 2,123,257 | ||||||||||||||||||
Albany International Corporation Class A | Common and Preferred Stock 23,777 shares | 2,103,076 | ||||||||||||||||||
Atmos Energy Corporation | Common and Preferred Stock 19,662 shares | 2,059,988 | ||||||||||||||||||
ABM Industrials Inc. | Common and Preferred Stock 50,404 shares | 2,059,003 | ||||||||||||||||||
Sotera Health Company | Common and Preferred Stock 86,525 shares | 2,037,664 | ||||||||||||||||||
Harsco Corporation | Common and Preferred Stock 119,432 shares | 1,995,709 | ||||||||||||||||||
ACI Worldwide Inc. | Common and Preferred Stock 57,430 shares | 1,992,821 | ||||||||||||||||||
Carlisle Companies Inc. | Common and Preferred Stock 7,991 shares | 1,982,727 | ||||||||||||||||||
Mimecast Limited | Common and Preferred Stock 24,684 shares | 1,964,106 | ||||||||||||||||||
KBR, Inc. | Common and Preferred Stock 41,120 shares | 1,958,134 | ||||||||||||||||||
Knowles Corporation | Common and Preferred Stock 83,420 shares | 1,947,857 | ||||||||||||||||||
Veracyte Inc. | Common and Preferred Stock 47,260 shares | 1,947,112 | ||||||||||||||||||
NCR Corporation | Common and Preferred Stock 48,308 shares | 1,941,982 | ||||||||||||||||||
Bio-Techne Corporation | Common and Preferred Stock 3,749 shares | 1,939,508 | ||||||||||||||||||
N-Able Technologies International Inc. | Common and Preferred Stock 166,860 shares | 1,852,146 | ||||||||||||||||||
Aspen Technology Inc. | Common and Preferred Stock 12,162 shares | 1,851,056 | ||||||||||||||||||
Markel Corporation Holding Company | Common and Preferred Stock 1,490 shares | 1,838,660 | ||||||||||||||||||
Altra Industrial Motion Corporation | Common and Preferred Stock 35,331 shares | 1,822,020 | ||||||||||||||||||
WisdomTree Investments Inc. | Common and Preferred Stock 296,463 shares | 1,814,354 | ||||||||||||||||||
Fiverr International Limited | Common and Preferred Stock 15,882 shares | 1,805,783 | ||||||||||||||||||
Monro Inc. | Common and Preferred Stock 30,940 shares | 1,802,874 | ||||||||||||||||||
Barnes Group Inc. | Common and Preferred Stock 37,826 shares | 1,762,313 | ||||||||||||||||||
AptarGroup Inc. | Common and Preferred Stock 14,315 shares | 1,753,301 | ||||||||||||||||||
CarGurus Inc. Class A | Common and Preferred Stock 51,408 shares | 1,729,365 | ||||||||||||||||||
Wolverine World Wide Inc. | Common and Preferred Stock 59,278 shares | 1,707,799 | ||||||||||||||||||
Canada Goose Holdings Inc. | Common and Preferred Stock 46,015 shares | 1,705,316 | ||||||||||||||||||
Omnicell Inc. | Common and Preferred Stock 9,304 shares | 1,678,814 | ||||||||||||||||||
Hexcel Corporation | Common and Preferred Stock 31,854 shares | 1,650,037 | ||||||||||||||||||
WillScot Mobile Mini Holdings Corporation | Common and Preferred Stock 40,354 shares | 1,648,057 | ||||||||||||||||||
CareDx Inc. | Common and Preferred Stock 35,578 shares | 1,618,087 | ||||||||||||||||||
Boston Properties Inc. | Common and Preferred Stock 14,011 shares | 1,613,787 | ||||||||||||||||||
II-Vi Inc. | Common and Preferred Stock 23,504 shares | 1,606,028 | ||||||||||||||||||
Herbalife Nutrition Limited | Common and Preferred Stock 39,004 shares | 1,596,434 | ||||||||||||||||||
Graphic Packaging Holding Company | Common and Preferred Stock 81,825 shares | 1,595,588 | ||||||||||||||||||
Smartsheet Inc. Class A | Common and Preferred Stock 20,499 shares | 1,587,648 | ||||||||||||||||||
Kraton Corporation | Common and Preferred Stock 33,505 shares | 1,551,954 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
PacWest Bancorp | Common and Preferred Stock 33,783 shares | 1,525,978 | ||||||||||||||||||
ZipRecruiter Inc. Class A | Common and Preferred Stock 60,893 shares | 1,518,671 | ||||||||||||||||||
Matthews International Corporation Class A | Common and Preferred Stock 41,315 shares | 1,515,021 | ||||||||||||||||||
Under Armour Inc. Class C | Common and Preferred Stock 82,172 shares | 1,482,383 | ||||||||||||||||||
Huron Consulting Group Inc. | Common and Preferred Stock 29,649 shares | 1,479,485 | ||||||||||||||||||
Pacific Premier Bancorp Inc. | Common and Preferred Stock 36,368 shares | 1,455,811 | ||||||||||||||||||
Tenable Holdings Inc. | Common and Preferred Stock 26,236 shares | 1,444,817 | ||||||||||||||||||
Cimpress plc | Common and Preferred Stock 20,090 shares | 1,438,645 | ||||||||||||||||||
Privia Health Group Inc. | Common and Preferred Stock 55,410 shares | 1,433,457 | ||||||||||||||||||
Supernus Pharmaceuticals Inc. | Common and Preferred Stock 48,989 shares | 1,428,519 | ||||||||||||||||||
Teledyne Technologies Inc. | Common and Preferred Stock 3,269 shares | 1,428,193 | ||||||||||||||||||
IAA Spinco Inc. | Common and Preferred Stock 28,207 shares | 1,427,838 | ||||||||||||||||||
Kodiak Sciences Inc. | Common and Preferred Stock 16,772 shares | 1,421,930 | ||||||||||||||||||
Ciena Corporation | Common and Preferred Stock 18,365 shares | 1,413,554 | ||||||||||||||||||
Prestige Consumer Healthcare Inc. | Common and Preferred Stock 22,938 shares | 1,391,190 | ||||||||||||||||||
Sumo Logic Inc. | Common and Preferred Stock 102,451 shares | 1,389,236 | ||||||||||||||||||
Knight-Swift Transportation Holdings Inc. Class A | Common and Preferred Stock 22,767 shares | 1,387,421 | ||||||||||||||||||
Box Inc. Class A | Common and Preferred Stock 52,638 shares | 1,378,589 | ||||||||||||||||||
Bank Ozk | Common and Preferred Stock 29,614 shares | 1,377,939 | ||||||||||||||||||
Nu Skin Enterprises Inc. Class A | Common and Preferred Stock 27,012 shares | 1,370,859 | ||||||||||||||||||
JBG SMITH Properties | Common and Preferred Stock 47,542 shares | 1,364,931 | ||||||||||||||||||
SLR Investment Corporation | Common and Preferred Stock 73,775 shares | 1,359,673 | ||||||||||||||||||
IPG Photonics Corporation | Common and Preferred Stock 7,893 shares | 1,358,701 | ||||||||||||||||||
Diamondback Energy Inc. | Common and Preferred Stock 12,466 shares | 1,344,458 | ||||||||||||||||||
Sportradar Group | Common and Preferred Stock 75,738 shares | 1,330,717 | ||||||||||||||||||
Encompass Health Corporation | Common and Preferred Stock 20,220 shares | 1,319,557 | ||||||||||||||||||
Range Resources Corporation | Common and Preferred Stock 72,997 shares | 1,301,537 | ||||||||||||||||||
Anaplan Inc. | Common and Preferred Stock 28,078 shares | 1,287,376 | ||||||||||||||||||
Mandiant Inc. | Common and Preferred Stock 72,539 shares | 1,272,334 | ||||||||||||||||||
BRP Group Inc. Class A | Common and Preferred Stock 35,112 shares | 1,267,894 | ||||||||||||||||||
Nevro Corporation | Common and Preferred Stock 15,219 shares | 1,233,804 | ||||||||||||||||||
Texas Pacific Land Corporation | Common and Preferred Stock 978 shares | 1,221,395 | ||||||||||||||||||
KnowBe4 Inc. Class A | Common and Preferred Stock 52,912 shares | 1,213,801 | ||||||||||||||||||
Texas Capital Bancshares Inc. | Common and Preferred Stock 19,836 shares | 1,195,119 | ||||||||||||||||||
Berkshire Hills Bancorp Inc. | Common and Preferred Stock 41,230 shares | 1,172,169 | ||||||||||||||||||
Arvinas Inc. | Common and Preferred Stock 14,241 shares | 1,169,756 | ||||||||||||||||||
Coherus BioSciences Inc. | Common and Preferred Stock 73,238 shares | 1,168,878 | ||||||||||||||||||
Abiomed Inc. | Common and Preferred Stock 3,236 shares | 1,162,274 | ||||||||||||||||||
Relay Therapeutics Inc. | Common and Preferred Stock 37,423 shares | 1,149,260 | ||||||||||||||||||
AZZ Inc. | Common and Preferred Stock 20,736 shares | 1,146,493 | ||||||||||||||||||
Fox Factory Holding Corporation | Common and Preferred Stock 6,632 shares | 1,128,103 | ||||||||||||||||||
Sterling Check Corporation | Common and Preferred Stock 53,897 shares | 1,105,427 | ||||||||||||||||||
Agios Pharmaceuticals Inc. | Common and Preferred Stock 33,477 shares | 1,100,389 | ||||||||||||||||||
TreeHouse Foods Inc. | Common and Preferred Stock 26,684 shares | 1,081,503 | ||||||||||||||||||
John Bean Technologies Corporation | Common and Preferred Stock 7,042 shares | 1,081,370 | ||||||||||||||||||
Evercore Inc. | Common and Preferred Stock 7,954 shares | 1,080,551 | ||||||||||||||||||
Alamos Gold Inc. Class A | Common and Preferred Stock 139,767 shares | 1,074,808 | ||||||||||||||||||
World Wrestling Entertainment | Common and Preferred Stock 21,661 shares | 1,068,754 | ||||||||||||||||||
Vroom Inc. | Common and Preferred Stock 98,021 shares | 1,057,647 | ||||||||||||||||||
Cooper Companies Inc. | Common and Preferred Stock 2,482 shares | 1,039,809 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
Solarwinds Corporation | Common and Preferred Stock 71,697 shares | 1,017,380 | ||||||||||||||||||
Farfetch Limited Class A | Common and Preferred Stock 30,231 shares | 1,010,622 | ||||||||||||||||||
Heron Therapeutics Inc. | Common and Preferred Stock 110,570 shares | 1,009,504 | ||||||||||||||||||
Consensus Cloud Solutions Inc. | Common and Preferred Stock 17,412 shares | 1,007,632 | ||||||||||||||||||
Polaris Inc. | Common and Preferred Stock 9,154 shares | 1,006,116 | ||||||||||||||||||
C4 Therapeutics Inc. | Common and Preferred Stock 31,127 shares | 1,002,289 | ||||||||||||||||||
Shutterstock Inc. | Common and Preferred Stock 8,977 shares | 995,370 | ||||||||||||||||||
1-800-FLOWERS.COM Inc. Class A | Common and Preferred Stock 41,874 shares | 978,595 | ||||||||||||||||||
Albemarle Corporation | Common and Preferred Stock 4,184 shares | 978,094 | ||||||||||||||||||
SpringWorks Therapeutics Inc. | Common and Preferred Stock 15,422 shares | 955,856 | ||||||||||||||||||
Axogen Inc. | Common and Preferred Stock 101,418 shares | 950,287 | ||||||||||||||||||
Cal/Maine Foods Inc. | Common and Preferred Stock 24,349 shares | 900,670 | ||||||||||||||||||
Cano Health Inc. Class A | Common and Preferred Stock 100,183 shares | 892,631 | ||||||||||||||||||
iShares Core S&P Small-Cap ETF | Mutual Fund 7,631 units | 873,826 | ||||||||||||||||||
United Community Bank Blairsville Georgia | Common and Preferred Stock 23,216 shares | 834,383 | ||||||||||||||||||
Exact Sciences Corporation | Common and Preferred Stock 10,696 shares | 832,470 | ||||||||||||||||||
Designer Brands Inc. Class A | Common and Preferred Stock 58,536 shares | 831,797 | ||||||||||||||||||
KB Home | Common and Preferred Stock 18,474 shares | 826,342 | ||||||||||||||||||
NorthWestern Corp | Common and Preferred Stock 13,804 shares | 789,037 | ||||||||||||||||||
Heartland Express Inc. | Common and Preferred Stock 45,509 shares | 765,461 | ||||||||||||||||||
Flowserve Corporation | Common and Preferred Stock 24,786 shares | 758,452 | ||||||||||||||||||
Xperi Holding Corporation | Common and Preferred Stock 38,238 shares | 723,081 | ||||||||||||||||||
Mercury Systems Inc. | Common and Preferred Stock 13,074 shares | 719,854 | ||||||||||||||||||
Viking Therapeutics Inc. | Common and Preferred Stock 156,336 shares | 719,146 | ||||||||||||||||||
WSFS Financial Corporation | Common and Preferred Stock 14,312 shares | 717,317 | ||||||||||||||||||
Infinera Corporation | Common and Preferred Stock 73,824 shares | 707,972 | ||||||||||||||||||
CalAmp Corporation | Common and Preferred Stock 98,951 shares | 698,594 | ||||||||||||||||||
PetIQ Inc. Class A | Common and Preferred Stock 30,430 shares | 691,065 | ||||||||||||||||||
Silgan Holdings Inc. | Common and Preferred Stock 14,984 shares | 641,915 | ||||||||||||||||||
Banner Corporation | Common and Preferred Stock 10,265 shares | 622,778 | ||||||||||||||||||
iShares Russell Mid-Cap ETF | Mutual Fund 7,335 units | 608,878 | ||||||||||||||||||
Haemonetics Corporation | Common and Preferred Stock 11,201 shares | 594,101 | ||||||||||||||||||
Oceaneering International Inc. | Common and Preferred Stock 50,327 shares | 569,198 | ||||||||||||||||||
STAG Industrial Inc. | Common and Preferred Stock 11,201 shares | 537,200 | ||||||||||||||||||
NexTier Oilfield Solutions Inc. | Common and Preferred Stock 148,086 shares | 525,705 | ||||||||||||||||||
iShares Russell 2000 ETF | Mutual Fund 2,104 units | 468,035 | ||||||||||||||||||
Alight Inc. Class A | Common and Preferred Stock 39,442 shares | 426,368 | ||||||||||||||||||
eHealth Inc. | Common and Preferred Stock 16,236 shares | 414,018 | ||||||||||||||||||
J & J Snack Foods Corporation | Common and Preferred Stock 1,958 shares | 309,286 | ||||||||||||||||||
Talis Biomedical Corporation | Common and Preferred Stock 53,052 shares | 212,739 | ||||||||||||||||||
Total U.S. Equity Asset Class | 1,714,872,738 | |||||||||||||||||||
U.S. Equity Index Asset Class: | ||||||||||||||||||||
NT Collective Russell 3000 Index Fund / Non Lending* | Collective Trust Fund 13,250,686 units | 975,793,781 | ||||||||||||||||||
Gaming & Leisure Properties Inc. | Common and Preferred Stock 155 shares | 7,542 | ||||||||||||||||||
CTO Realty Growth Inc. | Common and Preferred Stock 82 shares | 5,036 | ||||||||||||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 235 units | 234 |
Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
Total U.S. Equity Index Asset Class | 975,806,593 | |||||||||||||||||||
International Equity Class: | ||||||||||||||||||||
Mawer International Equity Collective Investment Trust Class B* | Collective Trust Fund 7,906,966 units | 142,493,012 | ||||||||||||||||||
Polaris Capital Management Collective Investment Trust International Value Collective Fund* | Collective Trust Fund 11,549,975 units | 136,685,875 | ||||||||||||||||||
Reliance Trust Institutional Retirement Trust GQG Partners International Equity Fund Series 11 Class C* | Collective Trust Fund 7,951,753 units | 110,131,779 | ||||||||||||||||||
Wilmington Trust Collective Investment Trust / Jennison International Equity Opportunities CIT Class J* | Collective Trust Fund 6,849,549 units | 83,701,490 | ||||||||||||||||||
Dodge & Cox International Fund | Mutual Fund 1,690,348 units | 79,936,563 | ||||||||||||||||||
NT Collective MSCI All Country World Index (ACWI) ex/US Index Fund / Non Lending* | Collective Trust Fund 204,987 units | 44,875,034 | ||||||||||||||||||
Interest Bearing Cash | Cash and Cash Equivalents 8,482 units | 8,482 | ||||||||||||||||||
Total International Equity Asset Class | 597,832,235 | |||||||||||||||||||
International Equity Index Asset Class: | ||||||||||||||||||||
NT Collective All Country World Index (ACWI) Ex/US Fund / Non Lending* | Collective Trust Fund 2,349,363 units | 469,637,570 | ||||||||||||||||||
BlackRock FTSE RAFI Emerging Index Non Lendable Fund F* | Collective Trust Fund 21,268 units | 98,297 | ||||||||||||||||||
Total International Equity Index Asset Class | 469,735,867 | |||||||||||||||||||
Participant Self-Directed Accounts | Various Investments | 781,940,783 | ||||||||||||||||||
781,940,783 | ||||||||||||||||||||
Notes Receivable from Participants* | Interest Rate 4.25% - 9.25% | 30,243,936 | ||||||||||||||||||
30,243,936 | ||||||||||||||||||||
Other: | ||||||||||||||||||||
BIF Money Fund* | Cash and Cash Equivalents 3,043,753 units | 3,043,753 | ||||||||||||||||||
Vanguard Federal Money Market | Cash and Cash Equivalents 498,898 units | 498,898 | ||||||||||||||||||
NT Collective Short Term Investment Fund* | Collective Trust Fund 303,581 units | 303,581 | ||||||||||||||||||
Exide Technologies | Common and Preferred Stock 35,683 shares | 24,978 | ||||||||||||||||||
Exide Technologies 144A 11.0% Due 05/24/2017 | Corporate Bond 9,077 units | 78 | ||||||||||||||||||
Total Other | 3,871,288 | |||||||||||||||||||
Grand Total | $ | 7,183,734,301 |
* Indicates party-in-interest |
Identity of Issue | Description of Investment | Proceeds from Dispositions | ||||||||||||
Participant Self-Directed Brokerage Accounts | Various Investments | $ | 33,444 |
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 | $ | 310,000 | $ | — |
Participant Contributions Transferred Late to Plan | Total that Constitute Nonexempt Prohibited Transactions | |||||||||||||||||||||||||
Check Here if Late Participant Loan Repayments are Included: ☐ | Contributions Not Corrected | Contributions Corrected Outside VFCP1 | Contributions Pending Corrections in VFCP1 | Total Fully Corrected Under VFCP1 and PTE2 2002-51 | ||||||||||||||||||||||
$ | 17,793 | $ | — | $ | 17,793 | $ | — | $ | — |
Amgen Retirement and Savings Plan (Name of Plan) | ||||||||||||||||||||
Date: | June 23, 2022 | By: | /s/ PETER H. GRIFFITH | |||||||||||||||||
Peter H. Griffith | ||||||||||||||||||||
Executive Vice President and | ||||||||||||||||||||
Chief Financial Officer | ||||||||||||||||||||
Amgen Inc. |