11-K 1 a202311-k.htm AEP RETIREMENT SAVINGS PLAN 2023 Document

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 11-K
(Mark One)
xANNUAL REPORT PURSUANT TO SECTION 15(d)
OF THE SECURITIES EXCHANGE ACT OF 1934
For the year ended December 31, 2023
OR
oTRANSITION REPORT PURSUANT TO SECTION 15(d)
OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from __________ to __________
Commission File Number: 1 - 3525
AEP RETIREMENT SAVINGS 401(K) PLAN
(Full title of the plan)
AMERICAN ELECTRIC POWER COMPANY, INC.
1 Riverside Plaza, Columbus, Ohio 43215
(Name of issuer of the securities held
pursuant to the plan and the address
of its principal executive office)



AEP RETIREMENT SAVINGS 401(K) PLAN
INDEX
December 31, 2023 and 2022
Page
Number
Signatures
Report of Independent Registered Public Accounting Firm
Financial Statements
Statements of Net Assets Available for Benefits
Statements of Changes in Net Assets Available for Benefits
Notes to Financial Statements
Supplemental Schedule
Schedule of Assets (Held at End of Year)
Exhibit Index
Exhibit 23(1)
Note: Other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting with Disclosure under the Employee Retirement Income Security Act of 1974 (ERISA) have been omitted because they are not applicable.
1


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the Benefits Finance Committee has duly caused this annual report to be signed by the undersigned thereunto duly authorized.
AEP Retirement Savings 401(k) Plan
/s/ Julie A. Sherwood
Julie A. Sherwood, SVP Treasury & Risk
June 26, 2024
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Report of Independent Registered Public Accounting Firm

Benefits Finance Committee and Plan Participants
AEP Retirement Savings 401(k) Plan
Columbus, Ohio

Opinion on the Financial Statements

We have audited the accompanying statements of net assets available for benefits of the AEP Retirement Savings 401(k) Plan (the “Plan”) as of December 31, 2023 and 2022, the related statements of changes in net assets available for benefits for the years then ended, and the related notes (collectively, the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2023 and 2022, and the changes in net assets available for benefits for the years then ended, in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on the Plan’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion.

Our audits included performing procedures to assess the risk of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by the Plan’s management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

Supplemental Information

The supplemental information in the accompanying Schedule of Assets (Held at End of Year) as of December 31, 2023 has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental information is presented for the purpose of additional analysis and is not a required part of the financial statements but included supplemental information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental information is the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental information. In forming our opinion on the supplemental information, we evaluated whether the supplemental information, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the supplemental information is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ BDO USA, P.C.
We have served as the Plan’s auditor since 2021.
Columbus, Ohio
June 26, 2024
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AEP RETIREMENT SAVINGS 401(K) PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
December 31, 2023 and 2022
December 31,
20232022
ASSETS
Investments at Fair Value$4,602,651,089 $4,028,215,236 
Investments at Contract Value541,681,201 632,453,089 
Notes Receivable from Participants62,856,728 57,284,187 
Total Assets
5,207,189,018 4,717,952,512 
Pending Trades, Net(8,467,338)— 
Total Liabilities
(8,467,338)— 
NET ASSETS AVAILABLE FOR BENEFITS$5,198,721,680 $4,717,952,512 
See Notes to Financial Statements beginning on page 6.
4


AEP RETIREMENT SAVINGS 401(K) PLAN
STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
For the Years Ended December 31, 2023 and 2022
Years Ended December 31,
20232022
INVESTMENT INCOME (LOSS)
Net Appreciation (Depreciation) in Investments$669,746,458 $(807,778,106)
Interest and Dividend Income26,942,047 23,542,137 
Total Investment Income (Loss)696,688,505 (784,235,969)
CONTRIBUTIONS
Participants215,145,574 199,897,997 
Employer86,846,315 81,092,017 
Total Contributions301,991,889 280,990,014 
INTEREST INCOME ON NOTES RECEIVABLE FROM PARTICIPANTS
3,430,674 2,648,194 
DISTRIBUTIONS TO PARTICIPANTS(514,584,103)(505,070,736)
ADMINISTRATIVE AND MANAGEMENT FEES
Professional Fees(630,147)(596,295)
Investment Advisory and Management Fees(5,773,048)(5,960,347)
Other Fees(354,602)(350,000)
Total Administrative and Management Fees(6,757,797)(6,906,642)
NET INCREASE (DECREASE)
480,769,168 (1,012,575,139)
NET ASSETS AVAILABLE FOR BENEFITS BEGINNING OF YEAR
$4,717,952,512 $5,730,527,651 
NET ASSETS AVAILABLE FOR BENEFITS END OF YEAR$5,198,721,680 $4,717,952,512 
See Notes to Financial Statements beginning on page 6.
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AEP RETIREMENT SAVINGS 401(K) PLAN
NOTES TO FINANCIAL STATEMENTS
For the Years Ended December 31, 2023 and 2022

1. PLAN DESCRIPTION

The following description of the AEP Retirement Savings 401(k) Plan (Plan) is provided for general information purposes only. Participants should refer to the Plan documents for a more complete description of the Plan’s information. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).

General

The Plan is a defined contribution plan that became effective and commenced operations on January 1, 1978. The Plan covers full-time and part-time employees of the participating subsidiaries of American Electric Power Company, Inc. (AEP or the Company) who are not excluded by the terms of the Plan, such as pursuant to a unionized collective bargaining agreement. American Electric Power Service Corporation (AEPSC) is the plan administrator (Plan Administrator) and plan sponsor (Plan Sponsor). AEPSC is a wholly-owned subsidiary of AEP. The Bank of New York Mellon (BNYM) (Trustee) is the primary trustee. Empower Annuity Insurance Company of America (Empower Retirement) is the Plan record keeper. AEPSC appointed Empower Trust Company, LLC (formerly Great-West Trust Company, LLC) as the trustee/custodian for certain cash held on behalf of the Plan pending investment or disbursement.

Contributions

Newly eligible employees are automatically enrolled with a 6% pretax deferral. Such deferrals automatically increase each year by 1% to a maximum of 10%. Employees may opt out of the automatic enrollment or revise their elections after they are notified of their right not to have such pretax deferrals made on their behalf and how their account will be invested in the absence of their making an investment election. Generally, eligible employees participating in the Plan may make contributions (pretax, after-tax or Roth 401(k) contributions) in 1% increments up to 50% of their eligible pay (within Internal Revenue Service (IRS) limits), although pretax and Roth 401(k) amounts are limited to $22,500 for 2023 and $20,500 for 2022. Participants who are age 50 and older are eligible to contribute additional pretax or Roth 401(k) amounts as catch-up contributions. The catch-up contribution limit was $7,500 for 2023 and $6,500 for 2022. An employee who is eligible to participate in the Plan also may roll eligible retirement benefits into the Plan. During the Plan years ended 2023 and 2022, employees rolled in amounts totaling $16,766,691 and $12,704,089, respectively, which are included in participant contributions on the Statements of Changes in Net Assets Available for Benefits. The participating employers contribute to the Plan, on behalf of each participant, an amount equal to 100% of the participant’s non-rollover contributions up to 1% of the participant’s eligible compensation for each payroll period, plus 70% of the participant’s contributions for the next 5% of the participant’s eligible compensation for each payroll period, subject to certain limitations. All contributions that are withheld from a participant’s pay or are made by the participating employers are deposited in the AEP Retirement Savings 401(k) Plan Trust after each pay period. The Plan, in a manner consistent with the requirements under Section 401 of the Internal Revenue Code (IRC), restricts the amount that certain participants who are deemed highly compensated may contribute to the Plan, provided that it is AEPSC’s intent that the Plan include a “qualified automatic contribution arrangement” (as defined in Section 401(k)(13) of the IRC), such that only the after-tax contributions made by such highly compensated participants may be subject to such restrictions.

Notes Receivable from Participants

Participants generally may borrow from their plan accounts a minimum of $1,000 but no more than the lesser of $50,000 or 50% of their account balance. Loan terms range from 12 months to 60 months (or up to 180 months for certain residential loans), or any monthly increment in-between. Interest rates, fixed for the life of the loan, are calculated by adding 1% to the prime rate, as reported in the Wall Street Journal as of the first business day of the calendar month in which the loan is taken. Active employees repay principal and interest payments through payroll deductions.

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Participant loans and the accrued interest are collateralized by the account balance, and upon default, the outstanding balance is subject to income taxes and possible tax penalty. No allowance for credit losses has been recorded at December 31, 2023 or 2022.

Participant Accounts

Individual accounts are maintained for each Plan participant. Each participant’s account is credited with the participant’s contributions, the Company’s contributions and investment earnings and losses and charged with benefit payments and allocations of Plan expenses. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s account.

Participants may transfer the value of their cumulative contributions, in any whole percentage or dollar amount, among investments, and change their investment elections on a daily basis. Participants may change their payroll contribution elections coinciding with the Company’s payroll periods.

Participants may make investments in 1% increments among various unitized funds established by the Plan including index funds, bond funds, growth funds, value funds, target date funds, and a stable value fund. The assets of each of the funds are held in the custody of the Trustee, and record-kept at the participant level by Empower Retirement. As the Plan owns the underlying assets of each of these funds, the financial statements present the underlying investments of these unitized funds. In the absence of a participant-directed investment, contributions are invested in a target date fund based on the participant's date of birth which corresponds to an estimated retirement date.

The AEP Stock Fund is an investment option in the Plan. Participants can elect to have dividends generated from their unitized holdings in the AEP Stock Fund paid out in cash, rather than automatically reinvested in the fund. The dividend payouts are made periodically (at least annually) and are treated as ordinary income to the participants for tax purposes.

In addition to the above, the Plan offers a self-directed brokerage account (SDB) option that allows participants to invest in retail mutual funds, exchange traded funds, equities traded on a national securities exchange (other than AEP Stock), preferred stock traded on a national securities exchange and fixed income securities (other than those issued by an affiliate of the Company).

Vesting and Distribution

Participants are immediately vested in their pretax, after-tax, Roth 401(k) and the Company contributions, including earnings thereon; provided that certain matching contributions made to participants of the AEP Energy, Inc. 401(k) Retirement Plan may be only partially vested in accordance with existing vesting positions of this plan. Excluding participants’ pretax and Roth 401(k) contributions, profit sharing contributions, and post-2008 Company matching contributions, all participants may make an unlimited number of withdrawals of their interest in the Plan at any time, including their pre-2009 Company matching contributions. Pretax, Roth 401(k) and profit sharing contributions are eligible for withdrawal by participants only after age 59-1/2, or earlier upon hardship (as defined by the Plan), or following termination of employment. Post-2008 Company matching contributions are eligible for withdrawal by participants only after age 59-1/2, or earlier following earlier termination of employment, but not upon hardship. Pursuant to the CARES Act, the Company changed the Plan to allow certain qualified participants impacted by COVID-19 to take withdrawals up to $100,000 between January 1, 2020 and December 30, 2020. These COVID-19 related distributions were not subject to the early withdrawal penalty, or to 20% federal tax withholding; but they were subject to a 10% federal tax withholding requirement, and participants have the option to spread the applicable income tax resulting from the COVID-19 related distribution over a 3 year period. Participant who obtained a COVID-19 related distribution may repay the distribution to an eligible retirement plan within the three-year period following the distribution to defer otherwise applicable taxation.
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2. ACCOUNTING POLICIES

Basis of Accounting

The accompanying financial statements are prepared on an accrual basis of accounting, in conformity with accounting principles generally accepted in the United States of America (GAAP).
    
Investment Valuation and Income Recognition

Participants direct the investment of their plan accounts among various investment options offered by the Plan. Investments in securities are reported at fair value while fully benefit-responsive investment contracts are reported at contract value. Fair value of a financial instrument is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

Purchases and sales of securities have been recorded on a trade-date basis. Net appreciation (depreciation) includes the Plan’s gains or losses on investments bought or sold as well as held throughout the year. Interest income is recorded on an accrual basis. Dividends are recorded on the ex-dividend date. These amounts are reinvested by the Trustee in the funds that generated such income with the exception of the AEP Stock Fund, which pays or reinvests dividends at the direction of each participant.

Notes Receivable from Participants

Notes Receivable from Participants are measured at their unpaid principal balance plus any accrued but unpaid interest. Delinquent participant loans are not recorded as distributions until actually distributed based on the terms of the Plan document.

Administrative and Management Fees

Administrative and Management Fees incurred relating to Empower Retirement and BNYM during 2023 and 2022 totaled $715,367 and $2,527,828, respectively. The Plan directly pays for administrative, record keeping and management fees. Fees related to the administration of Notes Receivable from Participants are charged directly to the participant's account and are included in administrative fees. Investment related expenses are included in Investment Advisory and Management Fees.

Distributions to Participants

Distributions to participants are recorded when paid.

Use of Estimates

The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of net assets available for benefits and changes therein and disclosure of contingent assets. The estimates and assumptions used are based upon management's evaluation of the relevant facts and circumstances as of the date of the financial statements. Actual results could differ from the estimates.

Fair Value Measurements of Assets

The accounting guidance for “Fair Value Measurements and Disclosures” establishes a fair value hierarchy that prioritizes the inputs used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). AEPSC’s staff independently monitors valuation policies and procedures and provides members of the Benefits Finance Committee (BFC) and its Investment Subcommittee (IC) various monthly and quarterly reports, regarding compliance with policies and procedures. As of December 31, 2023, the BFC consisted of AEPSC’s Chief Financial Officer and Executive Vice President – Portfolio Optimization, Treasurer, Executive Vice President - Chief Human Resources Officer, Senior Vice President -
8


Strategy and Transformation, Executive Vice President - General Counsel and Executive Vice President - Utilities. As of December 31, 2023, the IC consisted of AEPSC’s Treasurer, Director of Trusts and Investments, Vice President Finance and Treasury, and two Managing Directors of Corporate Finance.

The Plan utilizes its Trustee’s external pricing service to estimate the fair value of the underlying investments held in the Plan. The Plan’s investment managers review and validate the prices utilized by the Trustee to determine fair value. The Plan Administrator performs its own valuation testing to verify the fair values of the securities, in part by reviewing audit reports of the Trustee’s operating controls and valuation processes.

Assets in the Plan are classified using the following methods. Equities are classified as Level 1 holdings if they are actively traded on exchanges. Items classified as Level 1 are investments in equity securities, exchange traded funds, and registered investment companies. They are valued based on observable inputs primarily unadjusted quoted prices in active markets for identical assets. Level 2 investments consist of significant other observable inputs other than Level 1 prices, such as quoted prices in markets that are not active, or other inputs that are observable or can be corroborated by observable market data. Investments with unobservable valuation inputs are classified as Level 3 investments. Investments classified as “Other” are valued using Net Asset Value (NAV) as a practical expedient. The practical expedient is not used when it is determined to be probable that the investments will sell for an amount different than the reported NAV. Items classified as Other are primarily common/collective trusts. These investments do not have a readily determinable fair value or they contain redemption restrictions which may include the right to suspend redemptions under certain circumstances. Redemption restrictions on common/collective trusts may also prevent certain investments from being redeemed at the reporting date for the underlying value. There are no unfunded commitments for investments in common/collective trusts.


9


3. PLAN TERMINATION

Although it has not expressed any intent to do so, AEPSC has the right to take such actions as will allow contributions to the Plan to be discontinued at any time and to terminate the Plan subject to the provisions of ERISA. In the event of Plan termination, affected participants would be made 100 percent vested in their accounts.
10


4. INVESTMENT CONTRACTS

The Plan's Managed Income Fund provides a stable value investment option that includes fully benefit-responsive synthetic investment wrap contracts which assure the book value of investments in that fund for Plan participants. The fund’s underlying assets, which are held in a trust, utilize wrap contracts issued by four financial institutions as of December 31, 2023 and 2022. The fund’s underlying investment or investments, usually a portfolio owned by the Plan, consist primarily of high quality, intermediate term fixed income securities and guaranteed investment contracts. The contracts provide that participants execute plan transactions at contract value. Contract value represents contributions made to the fund, plus credited interest, less participant withdrawals, without regard to changes in the fair value of the investments and securities underlying the fund. The rates for crediting interest are reset periodically based on market rates of other similar investments, the current yield of the underlying investments and the spread between the market value and contract value. The interest crediting rate cannot be less than 0%. Certain events initiated by the Plan Sponsor, such as a plan termination or a plan merger, would limit the ability of the Plan to administer participant-level transactions at contract value or may allow for the termination of the wrap contract at market value, rather than contract value.

The Plan Sponsor does not believe that any events that may limit the ability of the Plan to transact at contract value are probable as of December 31, 2023 or the date these financial statements are issued.
11


5. RELATED PARTY AND PARTY-IN-INTEREST TRANSACTIONS

Certain transactions involving the Plan and its assets during 2023 and 2022 involved parties in interest with respect to the Plan, but those transactions were not prohibited transactions under ERISA because of the applicability of one or more exemptions. The exempt party-in-interest transactions involving the Plan included the following: (1) BNYM has acted as trustee and custodian under the Plan, while Mellon, an affiliate has acted as an investment manager in connection with the index funds held under the Plan's investment options and (2) Empower Trust Company, LLC has been acting as a trustee and custodian under the Plan, while its affiliates have acted as (a) the Plan’s record keeper and (b) investment advisor or investment manager for a number of plan participants with respect to the amounts held in their Plan accounts. Notes receivable from participants held by the Plan are also considered party-in-interest transactions. Certain investments within the self-directed brokerage account are considered party-in-interest transactions.

As of December 31, 2023 and 2022, the Plan held 3,349,383 and 3,303,820 shares, respectively, of common stock of American Electric Power Company, Inc., the parent company of the Plan Sponsor, with a cost basis of $196,757,008 and $185,079,875, respectively. During the year ended December 31, 2023, the Plan acquired 361,574 shares of that common stock with a fair value of $30,007,997 and disposed of 260,525 shares with a fair value of $15,107,083. During the year ended December 31, 2022, the Plan acquired 176,277 shares of that common stock with a fair value of $16,186,546 and disposed of 433,830 shares with a fair value of $23,595,217. During the years ended December 31, 2023 and 2022, the Plan recorded dividend income of $11,355,804 and $10,742,029, respectively, related to its investment in that common stock.
12


6. FAIR VALUE MEASUREMENTS

For a discussion of fair value accounting and the classification of assets within the fair value hierarchy, see the “Fair Value Measurements of Assets” section of Note 2.

Plan Assets within the Fair Value Hierarchy as of December 31, 2023
Level 1Level 2Level 3OtherTotal
Equities
Corporate Stocks$557,042,541 $— $— $— $557,042,541 
AEP Stock272,036,887 — — — 272,036,887 
Subtotal Equities829,079,428 — — — 829,079,428 
Common/Collective Trusts
Mellon Capital Small Cap Stock Index Fund (a)— — — 179,341,271 179,341,271 
Mellon Capital Mid Cap Stock Index Fund (a)— — — 456,261,518 456,261,518 
Mellon Capital Stock Index Fund (a)— — — 1,298,414,738 1,298,414,738 
Mellon Capital International Stock Index Fund (a)— — — 704,972,081 704,972,081 
Mellon Capital Aggregate Bond Index Fund (a)— — — 521,308,895 521,308,895 
Mellon Capital Treasury Inflation-Protected Securities Fund (a)
— — — 24,749,151 24,749,151 
JPMorgan Strategic Property Fund (a)— — — 68,468,634 68,468,634 
Mellon Capital Emerging Markets Stock Index Fund (a)
— — — 60,252,437 60,252,437 
Columbia Trust Focused Large Cap Growth Fund (a)
— — — 195,092,837 195,092,837 
Sands Capital International Growth CIT (a)— — — 25,623,845 25,623,845 
MetWest Total Return Bond Fund (a)— — — 65,185,142 65,185,142 
Subtotal Common/Collective Trusts— — — 3,599,670,549 3,599,670,549 
Self-Directed Brokerage Account (a)86,302,881 — — 15,361,054 101,663,935 
Registered Investment Companies24,523,069 — — — 24,523,069 
Money Market Fund47,714,108 — — — 47,714,108 
Total Assets Reflecting Investments at Fair Value$987,619,486 $— $— $3,615,031,603 $4,602,651,089 

(a)Amounts in “Other” column represent investments for which fair value is measured using net asset value per share as practical expedient.
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Plan Assets within the Fair Value Hierarchy as of December 31, 2022
Level 1Level 2Level 3OtherTotal
Equities
Corporate Stocks$475,488,575 $— $— $— $475,488,575 
AEP Stock313,697,709 — — — 313,697,709 
Subtotal Equities789,186,284 — — — 789,186,284 
Common/Collective Trusts
Mellon Capital Small Cap Stock Index Fund (a)— — — 167,745,036 167,745,036 
Mellon Capital Mid Cap Stock Index Fund (a)— — — 403,045,496 403,045,496 
Mellon Capital Stock Index Fund (a)— — — 1,061,529,248 1,061,529,248 
Mellon Capital International Stock Index Fund (a)— — — 601,606,626 601,606,626 
Mellon Capital Aggregate Bond Index Fund (a)— — — 482,226,262 482,226,262 
Mellon Capital Treasury Inflation-Protected Securities Fund (a)
— — — 22,717,366 22,717,366 
JPMorgan Strategic Property Fund (a)— — — 81,680,531 81,680,531 
Mellon Capital Emerging Markets Stock Index Fund (a)
— — — 50,083,740 50,083,740 
Columbia Trust Focused Large Cap Growth Fund (a)
— — — 144,994,815 144,994,815 
Sands Capital International Growth CIT (a)— — — 21,757,463 21,757,463 
MetWest Total Return Bond Fund (a)— — — 59,878,499 59,878,499 
Subtotal Common/Collective Trusts— — — 3,097,265,082 3,097,265,082 
Self-Directed Brokerage Account (a)63,270,334 — — 17,577,113 80,847,447 
Registered Investment Companies22,378,370 — — — 22,378,370 
Money Market Fund43,307,804 — — — 43,307,804 
Accrued Items and Unsettled Trades (a)(1,171,915)— — (3,597,836)(4,769,751)
Total Assets Reflecting Investments at Fair Value$916,970,877 $— $— $3,111,244,359 $4,028,215,236 

(a)Amounts in “Other” column represent investments for which fair value is measured using net asset value per share.
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The following tables set forth a summary of the Plan's investments measured at Net Asset Value as a practical expedient as of December 31, 2023 and 2022:

Fair Value Estimated Using Net Asset Value per Share as of December 31, 2023
Common/Collective TrustsFair ValueRedemption
Frequency
(If currently
eligible)
Redemption
Notice Period
Mellon Capital Small Cap Stock Index Fund$179,341,271 DailyTrade Date + 1
Mellon Capital Mid Cap Stock Index Fund456,261,518 DailyTrade Date + 1
Mellon Capital Stock Index Fund1,298,414,738 DailyTrade Date + 1
Mellon Capital International Stock Index Fund704,972,081 DailyTrade Date + 1
Mellon Capital Aggregate Bond Index Fund521,308,895 DailyTrade Date + 1
Mellon Capital Treasury Inflation-Protected Securities Fund
24,749,151 DailyTrade Date + 1
JPMorgan Strategic Property Fund68,468,634 Quarterly30 Days
Mellon Capital Emerging Markets Stock Index Fund
60,252,437 DailyTrade Date + 1
Columbia Trust Focused Large Cap Growth Fund195,092,837 DailyTrade Date + 1
Sands Capital International Growth CIT25,623,845 DailyTrade Date + 1
MetWest Total Return Bond Fund65,185,142 DailyTrade Date + 1
Self-Directed Brokerage Account15,361,054  DailyTrade Date + 1
Total Assets$3,615,031,603 

Fair Value Estimated Using Net Asset Value per Share as of December 31, 2022
Common/Collective TrustsFair ValueRedemption
Frequency
(If currently
eligible)
Redemption
Notice Period
Mellon Capital Small Cap Stock Index Fund$167,745,036 DailyTrade Date + 1
Mellon Capital Mid Cap Stock Index Fund403,045,496 DailyTrade Date + 1
Mellon Capital Stock Index Fund1,061,529,248 DailyTrade Date + 1
Mellon Capital International Stock Index Fund601,606,626 DailyTrade Date + 1
Mellon Capital Aggregate Bond Index Fund482,226,262 DailyTrade Date + 1
Mellon Capital Treasury Inflation-Protected Securities Fund
22,717,366 DailyTrade Date + 1
JPMorgan Strategic Property Fund81,680,531 Quarterly30 Days
Mellon Capital Emerging Markets Stock Index Fund
50,083,740 DailyTrade Date + 1
Columbia Trust Focused Large Cap Growth Fund144,994,815 DailyTrade Date + 1
Sands Capital International Growth CIT21,757,463 DailyTrade Date + 1
MetWest Total Return Bond Fund59,878,499 DailyTrade Date + 1
Self-Directed Brokerage Account17,577,113 DailyTrade Date + 1
Total Assets$3,114,842,195 

It is the Plan’s policy to record transfers in and transfers out of each level at the end of each reporting period. There have been no transfers between Level 1, Level 2, and Level 3 during the years ended December 31, 2023 and 2022.
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7. RISK AND UNCERTAINTIES

The Plan invests in various investment instruments, and investment securities are exposed to various risks, such as interest rate, credit and market volatility. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect participants' account balances and the amounts reported in the financial statements.
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8. FEDERAL INCOME TAX

The IRS has issued a favorable determination letter dated December 8, 2017 with respect to the Plan. A favorable determination letter indicates that, in the opinion of the IRS, the terms of the Plan meets the requirements of Section 401(a) of the IRC, and thereby recognizes the exempt status of the Plan’s trust pursuant to Section 501(a) of the IRC.

The Plan has been amended subsequent to the issuance of that IRS determination letter. Plan management believes that the Plan is currently designed and operated in compliance with the applicable requirements of the IRC and that the Plan’s trust continues to be tax-exempt. Therefore, no provision for income taxes has been included in the Plan’s financial statements.

The Plan Administrator is required to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the Plan has taken an uncertain position that more than likely than not would not be sustained upon examination by the IRS. The Plan Administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2023, there are no uncertain positions taken or expected to be taken that would require recognition of a liability (or asset) or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress.


9. SUBSEQUENT EVENTS

The Plan evaluated subsequent events from December 31, 2023 through June 26, 2024, the date these financial statements were available to be issued. The Plan is not aware of any subsequent events that would require recognition or disclosure in the financial statements.
17


10. RECONCILIATION OF FINANCIAL STATEMENTS TO THE FORM 5500

The following tables are reconciliations of participant loans and net assets available for benefits per the financial statements to the Form 5500.
January 1,
Participant Loans - Schedule H, Part I, Line 1c(8), Column (a)20232022
Beginning Balance per Financial Statements$57,284,187 $55,361,807 
Less: Loans Deemed Distributed with No Post-Default Payments(5,717,136)(5,728,244)
Beginning Balance Reported on Form 5500
$51,567,051 $49,633,563 
December 31,
Participant Loans - Schedule H, Part I, Line 1c(8), Column (b)20232022
Ending Balance per Financial Statements$62,856,728 $57,284,187 
Less: Assets and Activity Related to Loans Deemed Distributed with No Post-Default Payments
(5,988,759)(5,717,136)
Balance Reported on Form 5500$56,867,969 $51,567,051 
January 1,
Net Assets - Schedule H, Part I, Line 1l, Column (a)20232022
Beginning Balance per Financial Statements$4,717,952,512 $5,730,527,651 
Less: Loans Deemed Distributed with No Post-Default Payments(5,717,136)(5,728,244)
Beginning Balance Reported on Form 5500$4,712,235,376 $5,724,799,407 
December 31,
Net Assets - Schedule H, Part I, Line 1l, Column (b)20232022
Ending Balance per Financial Statements$5,198,721,680 $4,717,952,512 
Less: Assets and Activity Related to Loans Deemed Distributed with No Post-Default Payments
(5,988,759)(5,717,136)
Balance Reported on Form 5500$5,192,732,921 $4,712,235,376 
December 31,
Increase (Decrease) in Net Assets - Schedule H, Part II, Line 2k20232022
Per Financial Statements$480,769,168 $(1,012,575,139)
Less: Loans Deemed Distributed(271,623)11,108 
Reported on Form 5500$480,497,545 $(1,012,564,031)

18



AEP RETIREMENT SAVINGS 401(K) PLAN
PLAN #002 EIN #13-4922641
SCHEDULE H, LINE 4I - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
DECEMBER 31, 2023
(a)(b) Identity of Issuer, Borrower, Lessor or Similar Party (c) Description of Investment Including Maturity Date, Rate of Interest, Collateral, Par, or Maturity Value(e) Current Value
MANAGED INCOME FUND
MONEY MARKET FUND
JP MORGAN US GOVERNMENT MONEY MARKET$13,143,536 
TOTAL MONEY MARKET FUND$13,143,536 
U.S. GOVERNMENT SECURITIES
CES MU2 LLCFIXED, 05/13/2027, 1.994, $550,010.43$526,011 
EXIM Bank of the United StatesFIXED, 06/30/2027, 2.415, $580,458.88550,907 
EXIM Bank of the United StatesFIXED, 11/16/2024, 1.581, $182,652.17179,633 
Fannie Mae PoolFIXED, 01/01/2026, 3.1, $880,000.00855,926 
Fannie Mae PoolFIXED, 01/01/2026, 3.58, $1,340,000.001,316,879 
Fannie Mae PoolFIXED, 01/01/2028, 2.5, $130,779.92126,044 
Fannie Mae PoolFIXED, 01/01/2029, 5.09, $530,000.00550,433 
Fannie Mae PoolFIXED, 01/01/2035, 2.5, $298,355.56277,937 
Fannie Mae PoolFIXED, 01/01/2041, 4, $55,352.4054,781 
Fannie Mae PoolFIXED, 01/01/2046, 3.5, $788,292.27742,372 
Fannie Mae PoolFIXED, 01/01/2051, 4.5, $1,267,576.221,256,455 
Fannie Mae PoolFIXED, 01/01/2052, 2, $440,939.39364,072 
Fannie Mae PoolFIXED, 01/01/2052, 2.5, $1,393,777.651,196,720 
Fannie Mae PoolFIXED, 01/01/2052, 2.5, $2,327,737.622,009,897 
Fannie Mae PoolFIXED, 01/01/2052, 2.5, $2,445,533.582,107,701 
Fannie Mae PoolFIXED, 02/01/2031, 3, $409,392.86394,369 
Fannie Mae PoolFIXED, 02/01/2035, 2.5, $113,740.10105,844 
Fannie Mae PoolFIXED, 02/01/2035, 2.5, $56,184.6752,339 
Fannie Mae PoolFIXED, 02/01/2035, 2.5, $58,460.4654,459 
Fannie Mae PoolFIXED, 02/01/2035, 2.5, $71,803.2366,711 
Fannie Mae PoolFIXED, 02/01/2047, 3.5, $65,699.2261,582 
Fannie Mae PoolFIXED, 02/01/2052, 2, $1,494,848.691,241,875 
Fannie Mae PoolFIXED, 02/01/2057, 4, $443,411.44422,070 
19


Fannie Mae PoolFIXED, 03/01/2025, 5, $56,166.0956,722 
Fannie Mae PoolFIXED, 03/01/2028, 4.79, $1,950,000.001,972,633 
Fannie Mae PoolFIXED, 03/01/2049, 4, $670,566.59647,312 
Fannie Mae PoolFIXED, 04/01/2028, 4.02, $550,000.00544,169 
Fannie Mae PoolFIXED, 04/01/2029, 2.27, $540,000.00488,207 
Fannie Mae PoolFIXED, 04/01/2041, 4, $415,173.94410,884 
Fannie Mae PoolFIXED, 04/01/2047, 3, $513,691.19468,241 
Fannie Mae PoolFIXED, 04/01/2048, 4, $63,205.0261,190 
Fannie Mae PoolFIXED, 05/01/2026, 3.23, $1,080,885.371,051,410 
Fannie Mae PoolFIXED, 05/01/2027, 3, $19,689.3019,179 
Fannie Mae PoolFIXED, 05/01/2052, 3, $745,815.42666,364 
Fannie Mae PoolFIXED, 05/01/2052, 3.5, $1,027,805.82959,094 
Fannie Mae PoolFIXED, 06/01/2025, 3.58, $384,689.82378,435 
Fannie Mae PoolFIXED, 06/01/2026, 4, $156,564.00154,970 
Fannie Mae PoolFIXED, 06/01/2047, 4, $382,604.22371,969 
Fannie Mae PoolFIXED, 06/01/2052, 3.5, $2,366,489.062,208,274 
Fannie Mae PoolFIXED, 06/01/2056, 4.5, $278,910.79273,355 
Fannie Mae PoolFIXED, 06/01/2056, 4.5, $372,726.23365,302 
Fannie Mae PoolFIXED, 06/01/2056, 4.5, $569,680.49563,266 
Fannie Mae PoolFIXED, 07/01/2026, 3.21, $1,203,595.901,167,286 
Fannie Mae PoolFIXED, 07/01/2046, 3.5, $302,936.21285,286 
Fannie Mae PoolFIXED, 07/01/2047, 3.5, $601,273.46563,597 
Fannie Mae PoolFIXED, 07/01/2052, 4, $1,992,614.131,901,630 
Fannie Mae PoolFIXED, 07/01/2052, 4, $2,000,287.701,908,945 
Fannie Mae PoolFIXED, 07/01/2056, 4, $228,946.66217,929 
Fannie Mae PoolFIXED, 07/01/2056, 4, $996,526.86949,804 
Fannie Mae PoolFIXED, 08/01/2046, 4, $270,765.55264,628 
Fannie Mae PoolFIXED, 08/01/2047, 3.5, $535,321.58504,140 
Fannie Mae PoolFIXED, 08/01/2048, 4.5, $251,612.46249,094 
Fannie Mae PoolFIXED, 08/01/2056, 3.5, $481,184.18438,468 
Fannie Mae PoolFIXED, 08/01/2056, 5, $1,068,101.611,072,582 
Fannie Mae PoolFIXED, 08/01/2056, 5, $805,453.67808,832 
Fannie Mae PoolFIXED, 09/01/2049, 3, $191,074.68171,994 
20


Fannie Mae PoolFIXED, 09/01/2060, 3, $1,130,114.44999,269 
Fannie Mae PoolFIXED, 10/01/2027, 3, $45,569.3544,286 
Fannie Mae PoolFIXED, 10/01/2028, 4.92, $1,060,000.001,090,393 
Fannie Mae PoolFIXED, 10/01/2028, 5.38, $920,000.00961,899 
Fannie Mae PoolFIXED, 10/01/2030, 2.85, $1,005,000.00910,893 
Fannie Mae PoolFIXED, 10/01/2047, 4, $683,362.33661,289 
Fannie Mae PoolFIXED, 10/01/2052, 4.5, $1,177,030.551,154,349 
Fannie Mae PoolFIXED, 10/01/2052, 5, $2,683,440.472,696,057 
Fannie Mae PoolFIXED, 11/01/2025, 4, $19,686.5819,388 
Fannie Mae PoolFIXED, 11/01/2028, 1.39, $500,000.00434,962 
Fannie Mae PoolFIXED, 11/01/2028, 1.39, $820,000.00713,338 
Fannie Mae PoolFIXED, 11/01/2040, 4, $321,907.22318,580 
Fannie Mae PoolFIXED, 11/01/2045, 3.5, $930,059.81875,522 
Fannie Mae PoolFIXED, 11/01/2046, 3.5, $415,474.78390,329 
Fannie Mae PoolFIXED, 11/01/2048, 4.5, $848,385.32840,417 
Fannie Mae PoolFIXED, 12/01/2028, 5.18, $280,000.00291,962 
Fannie Mae PoolFIXED, 12/01/2028, 5.33, $640,000.00670,669 
Fannie Mae PoolFIXED, 12/01/2031, 3.5, $482,941.83468,126 
Fannie Mae PoolFIXED, 12/01/2031, 3.5, $758,908.59735,627 
Fannie Mae PoolFIXED, 12/01/2049, 3, $437,973.17393,966 
Fannie Mae PoolFIXED, 12/01/2050, 2.5, $2,910,471.982,503,702 
Fannie Mae PoolFIXED, 12/01/2050, 2.5, $4,292,151.143,692,273 
Fannie Mae PoolFIXED, 12/01/2051, 2, $1,824,347.351,515,986 
Fannie Mae PoolFIXED, 12/01/2051, 2, $3,285,049.192,729,119 
Fannie Mae PoolFIXED, 12/01/2051, 2, $355,028.74293,609 
Fannie Mae PoolFIXED, 12/01/2051, 2, $663,042.76547,445 
Fannie Mae PoolFIXED, 12/01/2051, 2, $823,485.74680,985 
Fannie Mae PoolFIXED, 12/01/2051, 2, $869,957.17718,308 
Fannie Mae PoolFIXED, 12/01/2051, 2, $877,221.68728,772 
Fannie Mae PoolFIXED, 12/01/2051, 2.5, $483,205.14414,893 
Fannie Mae PoolFLOATING, 02/01/2030, 6.095, $470,000.00468,772 
Fannie Mae PoolFLOATING, 03/01/2044, 4.077, $95,918.0897,632 
Fannie Mae PoolFLOATING, 04/01/2048, 3.367, $126,697.83125,346 
21


Fannie Mae PoolFLOATING, 05/01/2047, 2.829, $575,022.13583,887 
Fannie Mae PoolFLOATING, 05/01/2052, 3.072, $739,382.80693,714 
Fannie Mae PoolFLOATING, 06/01/2045, 5.21, $60,395.5261,935 
Fannie Mae PoolFLOATING, 06/01/2047, 3.008, $557,958.69563,926 
Fannie Mae PoolFLOATING, 06/01/2047, 3.073, $380,721.07385,305 
Fannie Mae PoolFLOATING, 06/01/2052, 2.473, $575,169.90527,409 
Fannie Mae PoolFLOATING, 06/01/2052, 2.601, $621,519.85572,942 
Fannie Mae PoolFLOATING, 06/01/2052, 3.805, $722,746.58694,648 
Fannie Mae PoolFLOATING, 06/01/2053, 5.141, $1,106,237.801,109,597 
Fannie Mae PoolFLOATING, 07/01/2042, 6.138, $150,412.35154,760 
Fannie Mae PoolFLOATING, 07/01/2045, 5.866, $265,926.69273,244 
Fannie Mae PoolFLOATING, 07/01/2052, 3.611, $347,861.42332,177 
Fannie Mae PoolFLOATING, 07/01/2052, 3.864, $949,844.86914,764 
Fannie Mae PoolFLOATING, 08/01/2042, 7.177, $62,290.7564,341 
Fannie Mae PoolFLOATING, 08/01/2052, 4.104, $522,448.59507,593 
Fannie Mae PoolFLOATING, 08/01/2052, 4.534, $392,577.23386,312 
Fannie Mae PoolFLOATING, 09/01/2027, 5.87, $1,091,395.421,090,240 
Fannie Mae PoolFLOATING, 09/01/2047, 2.681, $19,044.8919,064 
Fannie Mae PoolFLOATING, 09/01/2047, 2.862, $10,061.5110,017 
Fannie Mae PoolFLOATING, 09/01/2052, 3.483, $755,598.93720,662 
Fannie Mae PoolFLOATING, 10/01/2028, 5.895, $635,000.00634,629 
Fannie Mae PoolFLOATING, 10/01/2047, 2.845, $13,140.9813,030 
Fannie Mae PoolFLOATING, 10/01/2052, 4.564, $533,359.54526,009 
Fannie Mae PoolFLOATING, 11/01/2052, 5.118, $965,837.30970,586 
Fannie Mae PoolFLOATING, 12/01/2052, 4.821, $427,459.61425,164 
Fannie Mae PoolFLOATING, 12/01/2052, 5.312, $609,631.72616,285 
Fannie Mae PoolVARIABLE, 11/01/2026, 3.284, $533,939.65520,388 
Freddie Mac Gold PoolFIXED, 01/01/2028, 2.5, $135,689.02129,173 
Freddie Mac Gold PoolFIXED, 01/01/2048, 3.5, $322,083.40303,668 
Freddie Mac Gold PoolFIXED, 01/01/2048, 4, $153,921.38149,299 
Freddie Mac Gold PoolFIXED, 02/01/2025, 5, $14,339.6014,497 
Freddie Mac Gold PoolFIXED, 02/01/2047, 3.5, $351,247.88331,234 
Freddie Mac Gold PoolFIXED, 03/01/2048, 3.5, $661,090.49621,718 
22


Freddie Mac Gold PoolFIXED, 04/01/2047, 3.5, $1,335,954.131,260,931 
Freddie Mac Gold PoolFIXED, 05/01/2049, 3.5, $252,682.72236,793 
Freddie Mac Gold PoolFIXED, 05/01/2049, 3.5, $511,753.13479,042 
Freddie Mac Gold PoolFIXED, 06/01/2025, 4.5, $38,600.5138,579 
Freddie Mac Gold PoolFIXED, 06/01/2048, 4, $948,735.88919,756 
Freddie Mac Gold PoolFIXED, 07/01/2026, 4, $77,845.4576,823 
Freddie Mac Gold PoolFIXED, 08/01/2046, 3.5, $933,198.15880,799 
Freddie Mac Gold PoolFIXED, 08/01/2048, 4.5, $561,803.52557,206 
Freddie Mac Gold PoolFIXED, 09/01/2047, 4, $375,252.83361,894 
Freddie Mac Gold PoolFIXED, 09/01/2047, 4, $607,387.94588,709 
Freddie Mac Gold PoolFIXED, 10/01/2045, 3.5, $123,122.45116,127 
Freddie Mac Gold PoolFIXED, 10/01/2047, 4, $417,592.32404,448 
Freddie Mac Gold PoolFIXED, 11/01/2048, 4.5, $376,453.16373,513 
Freddie Mac Gold PoolFIXED, 11/01/2048, 4.5, $638,847.74634,016 
Freddie Mac Gold PoolFIXED, 12/01/2047, 3.5, $273,450.07258,092 
Freddie Mac Multifam Struct PT CertVARIABLE, 01/25/2046, 5.17239, $39,318.0639,230 
Freddie Mac Multifamily Structured PT CertFIXED, 09/25/2028, 4.85, $1,100,000.001,124,567 
Freddie Mac Multifamily Structured PT CertFIXED, 10/25/2028, 4.86, $370,000.00379,592 
Freddie Mac Multifamily Structured PT CertVARIABLE, 08/25/2028, 4.74, $375,000.00382,002 
Freddie Mac Multifamily Structured PT CertificatesFLOATING, 10/25/2027, 5.80522, $1,383,522.321,378,266 
Freddie Mac Multifamily Structured PT CertificatesVARIABLE, 05/25/2051, 1.24161, $879,865.21820,127 
Freddie Mac Multifamily Structured PT CertificatesVARIABLE, 09/25/2027, 3.187, $1,100,000.001,058,926 
Freddie Mac Non Gold PoolFLOATING, 05/01/2047, 2.547, $340,262.72341,265 
Freddie Mac Non Gold PoolFLOATING, 05/01/2047, 3.001, $197,558.36196,444 
Freddie Mac Non Gold PoolFLOATING, 06/01/2052, 3.945, $931,191.61895,999 
Freddie Mac Non Gold PoolFLOATING, 06/01/2052, 4.286, $653,668.77636,242 
Freddie Mac Non Gold PoolFLOATING, 07/01/2052, 3.453, $549,506.15520,886 
Freddie Mac Non Gold PoolFLOATING, 07/01/2052, 4.231, $635,879.74617,599 
Freddie Mac Non Gold PoolFLOATING, 08/01/2045, 5.762, $273,347.66279,817 
Freddie Mac Non Gold PoolFLOATING, 08/01/2045, 6.201, $146,380.61149,543 
Freddie Mac Non Gold PoolFLOATING, 08/01/2047, 2.92, $62,594.3362,683 
Freddie Mac Non Gold PoolFLOATING, 08/01/2048, 3.571, $145,770.77142,622 
Freddie Mac Non Gold PoolFLOATING, 08/01/2052, 4.008, $684,768.65661,074 
23


Freddie Mac Non Gold PoolFLOATING, 09/01/2046, 7.276, $79,098.4081,381 
Freddie Mac Non Gold PoolFLOATING, 09/01/2047, 3.112, $283,581.94283,208 
Freddie Mac Non Gold PoolFLOATING, 09/01/2052, 4.053, $1,117,524.901,080,631 
Freddie Mac Non Gold PoolFLOATING, 09/01/2052, 4.149, $350,097.72339,431 
Freddie Mac Non Gold PoolFLOATING, 09/01/2052, 4.666, $352,202.64347,010 
Freddie Mac Non Gold PoolFLOATING, 10/01/2043, 5.85, $79,760.7481,472 
Freddie Mac Non Gold PoolFLOATING, 10/01/2052, 4.294, $472,076.65460,018 
Freddie Mac Non Gold PoolFLOATING, 11/01/2052, 4.562, $379,237.80372,831 
Freddie Mac Non Gold PoolFLOATING, 12/01/2052, 4.862, $555,087.58551,267 
Freddie Mac PoolFIXED, 01/01/2035, 2.5, $187,143.60174,335 
Freddie Mac PoolFIXED, 01/01/2035, 2.5, $270,350.88251,848 
Freddie Mac PoolFIXED, 01/01/2050, 3, $1,575,013.291,417,049 
Freddie Mac PoolFIXED, 01/01/2052, 2, $7,090,458.935,896,452 
Freddie Mac PoolFIXED, 01/01/2052, 2.5, $1,376,675.821,186,502 
Freddie Mac PoolFIXED, 02/01/2035, 2.5, $90,870.4384,359 
Freddie Mac PoolFIXED, 02/01/2052, 2.5, $1,602,516.011,381,419 
Freddie Mac PoolFIXED, 02/01/2052, 3, $1,543,255.141,379,389 
Freddie Mac PoolFIXED, 03/01/2052, 3, $1,570,984.011,403,583 
Freddie Mac PoolFIXED, 04/01/2050, 3, $718,760.63649,940 
Freddie Mac PoolFIXED, 08/01/2049, 3.5, $206,566.57192,811 
Freddie Mac PoolFIXED, 09/01/2049, 3, $131,119.33118,009 
Freddie Mac PoolFIXED, 09/01/2051, 2.5, $441,195.05381,139 
Freddie Mac PoolFIXED, 11/01/2049, 3, $2,739,543.312,466,490 
Freddie Mac PoolFIXED, 11/01/2051, 2.5, $593,571.38511,754 
Freddie Mac PoolFIXED, 11/01/2051, 2.5, $986,119.39846,899 
Freddie Mac PoolFIXED, 12/01/2051, 2, $1,031,850.49851,858 
Freddie Mac PoolFIXED, 12/01/2051, 2, $1,078,693.59891,929 
Freddie Mac PoolFIXED, 12/01/2051, 2, $621,302.26516,286 
Freddie Mac PoolFIXED, 12/01/2051, 2, $723,912.90598,574 
Freddie Mac PoolFIXED, 12/01/2051, 2, $880,370.99727,005 
Freddie Mac PoolFIXED, 12/01/2051, 2.5, $3,003,266.082,592,168 
Freddie Mac PoolFIXED, 12/01/2051, 2.5, $580,097.45498,143 
GNMAFIXED, 05/20/2040, 4.5, $23,638.2723,500 
24


GNMAFLOATING, 10/20/2065, 6.08719, $783,979.40779,210 
GNMAFLOATING, 12/20/2066, 6.43719, $1,352,954.751,352,734 
Government National Mortgage AssociationFLOATING, 01/20/2069, 6.15719, $873,191.49858,481 
MSN 41079 and 41084 LtdFIXED, 07/13/2024, 1.717, $114,174.61113,182 
Petroleos MexicanosFIXED, 02/15/2024, 2.83, $108,750.00109,535 
Petroleos MexicanosFIXED, 04/15/2025, 2.378, $150,000.00289,557 
Petroleos MexicanosFLOATING, 02/15/2024, 6.07133, $33,750.0067,848 
Phoenix 2012 LLCFIXED, 07/03/2024, 1.607, $137,103.79135,706 
Rimon LLCFIXED, 06/25/2026, 2.623, $405,796.65391,334 
SBA Small Business Investment CosFIXED, 03/10/2024, 3.191, $133,105.13267,715 
SBA Small Business Investment CosFIXED, 03/10/2025, 2.517, $113,329.74109,194 
SBA Small Business Investment CosFIXED, 03/10/2026, 2.507, $1,017,901.99981,722 
SBA Small Business Investment CosFIXED, 03/10/2029, 3.113, $847,574.94807,560 
SBA Small Business Investment CosFIXED, 03/10/2030, 2.078, $1,064,695.11972,784 
SBA Small Business Investment CosFIXED, 03/10/2031, 1.667, $691,844.39604,008 
SBA Small Business Investment CosFIXED, 03/10/2032, 2.938, $2,493,706.672,294,954 
SBA Small Business Investment CosFIXED, 03/10/2033, 5.168, $2,189,027.782,235,102 
SBA Small Business Investment CosFIXED, 09/10/2025, 2.829, $176,718.52172,455 
SBA Small Business Investment CosFIXED, 09/10/2027, 2.518, $333,468.87316,380 
SBA Small Business Investment CosFIXED, 09/10/2028, 3.548, $538,857.05520,277 
SBA Small Business Investment CosFIXED, 09/10/2031, 1.304, $1,266,799.021,073,356 
SBA Small Business Investment CosFIXED, 09/10/2033, 5.688, $3,230,000.003,414,294 
Seasoned Credit Risk Transfer TrustFIXED, 09/25/2060, 2.5, $493,125.23444,361 
Seasoned Credit Risk Transfer Trust 2017-4STEP, 06/25/2057, 3.25, $1,909,208.401,687,699 
Seasoned Credit Risk Transfer Trust Series 2017-3FIXED, 07/25/2056, 3, $1,387,019.751,192,030 
Seasoned Credit Risk Transfer Trust Series 2018-2FIXED, 11/25/2057, 3.5, $138,094.77131,581 
Seasoned Credit Risk Transfer Trust Series 2018-3VARIABLE, 08/25/2057, 3.5, $113,455.66107,515 
Seasoned Credit Risk Transfer Trust Series 2019-1FIXED, 07/25/2058, 4, $452,210.73421,896 
Seasoned Credit Risk Transfer Trust Series 2019-2FIXED, 08/25/2058, 4, $525,898.24493,348 
Seasoned Credit Risk Transfer Trust Series 2019-3FIXED, 10/25/2058, 4, $320,064.57298,591 
Seasoned Credit Risk Transfer Trust Series 2020-2FIXED, 11/25/2059, 2, $1,072,656.51851,627 
Seasoned Credit Risk Transfer Trust Series 2020-2FIXED, 11/25/2059, 2.5, $488,256.09429,097 
Seasoned Credit Risk Transfer Trust Series 2020-3FIXED, 05/25/2060, 2.5, $212,421.09186,214 
25


Seasoned Credit Risk Transfer Trust Series 2020-3FIXED, 05/25/2060, 2.5, $247,983.25225,047 
Seasoned Credit Risk Transfer Trust Series 2020-3FIXED, 05/25/2060, 2.5, $5,130,590.354,213,530 
Seasoned Credit Risk Transfer Trust Series 2022-1FIXED, 11/25/2061, 3.25, $2,649,705.852,306,297 
United States Int Dev Finance CorpZERO COUPON, 10/22/2025, 0, $615,000.00662,377 
United States Small Business AdministrationFIXED, 01/01/2048, 4.91, $815,340.03840,398 
United States Small Business AdministrationFIXED, 02/01/2030, 4.14, $127,217.67252,089 
United States Small Business AdministrationFIXED, 02/01/2048, 4.61, $4,343,923.134,344,320 
United States Small Business AdministrationFIXED, 03/01/2048, 4.93, $1,813,185.711,859,136 
United States Small Business AdministrationFIXED, 06/01/2037, 2.81, $271,680.16249,532 
United States Small Business AdministrationFIXED, 06/01/2038, 3.6, $335,458.70316,119 
United States Small Business AdministrationFIXED, 06/01/2047, 4.01, $1,953,641.001,851,570 
United States Small Business AdministrationFIXED, 06/01/2048, 4.93, $648,681.87652,819 
United States Small Business AdministrationFIXED, 07/01/2037, 2.98, $217,286.78204,595 
United States Small Business AdministrationFIXED, 07/01/2038, 3.54, $478,862.36458,753 
United States Small Business AdministrationFIXED, 08/01/2047, 3.8, $435,522.93415,525 
United States Small Business AdministrationFIXED, 11/01/2032, 2.09, $152,024.78139,415 
United States Small Business AdministrationFIXED, 11/01/2047, 5.13, $801,854.75821,270 
United States Small Business AdministrationFIXED, 12/01/2047, 4.71, $1,295,408.151,296,446 
United States Small Business AdministrationFIXED, 12/01/2048, 5.28, $1,770,000.001,827,837 
United States Treasury Note/BondFIXED, 02/15/2032, 1.875, $1,104,000.00958,725 
United States Treasury Note/BondFIXED, 02/15/2033, 3.5, $2,340,000.002,304,575 
United States Treasury Note/BondFIXED, 05/15/2033, 3.375, $95,000.0091,777 
United States Treasury Note/BondFIXED, 06/15/2026, 4.125, $5,530,000.005,541,242 
United States Treasury Note/BondFIXED, 07/15/2026, 4.5, $2,450,000.002,524,568 
United States Treasury Note/BondFIXED, 07/31/2026, 1.875, $3,582,000.003,417,853 
United States Treasury Note/BondFIXED, 08/15/2026, 4.375, $3,305,000.003,383,111 
United States Treasury Note/BondFIXED, 08/15/2032, 2.75, $925,000.00858,332 
United States Treasury Note/BondFIXED, 08/31/2025, 5, $2,760,000.002,832,507 
United States Treasury Note/BondFIXED, 08/31/2028, 4.375, $5,135,000.005,325,651 
United States Treasury Note/BondFIXED, 09/15/2026, 4.625, $3,395,000.003,490,259 
United States Treasury Note/BondFIXED, 10/31/2028, 4.875, $1,410,000.001,484,938 
United States Treasury Note/BondFIXED, 10/31/2029, 4, $1,650,000.001,670,973 
United States Treasury Note/BondFIXED, 11/15/2026, 4.625, $2,360,000.002,412,444 
26


United States Treasury Note/BondFIXED, 11/15/2032, 4.125, $706,000.00722,749 
United States Treasury Note/BondFIXED, 11/15/2033, 4.5, $1,460,000.001,544,449 
United States Treasury Note/BondFIXED, 11/30/2028, 4.375, $2,790,000.002,868,461 
United States Treasury Note/BondFIXED, 11/30/2028, 4.375, $575,000.00591,170 
United States Treasury Note/BondFIXED, 12/15/2026, 4.375, $6,485,000.006,564,546 
United States Treasury Note/BondFIXED, 12/31/2028, 3.75, $1,165,000.001,161,053 
TOTAL U.S. GOVERNMENT SECURITIES$223,100,695 
CORPORATE DEBT INSTRUMENTS - PREFERRED
Abilene Independent School DistrictFIXED, 02/15/2024, 5%, $500,000.00$509,549 
Advocate Health & Hospitals CorpFIXED, 08/15/2028, 3.829%, $325,000.00320,847 
Alabama Federal Aid Highway Finance AuthorityFIXED, 09/01/2032, 2.156%, $445,000.00369,954 
American Express CoFIXED, 03/04/2027, 2.55%, $170,000.00160,755 
American Express CoVARIABLE, 05/01/2026, 4.99%, $170,000.00170,952 
American Express CoVARIABLE, 07/27/2029, 5.282%, $380,000.00396,803 
American Express CoVARIABLE, 07/28/2027, 5.389%, $480,000.00496,771 
American Express CoVARIABLE, 10/30/2026, 6.338%, $100,000.00103,061 
American Express CoVARIABLE, 10/30/2031, 6.489%, $50,000.0054,850 
Ascension HealthFIXED, 11/15/2029, 2.532%, $672,000.00602,770 
Astrazeneca Finance LLCFIXED, 05/28/2024, 0.7%, $260,000.00255,135 
Bank of America CorpVARIABLE, 03/11/2027, 1.658%, $610,000.00567,564 
Bank of America CorpVARIABLE, 03/15/2025, 3.458%, $500,000.00502,720 
Bank of America CorpVARIABLE, 04/22/2025, 0.976%, $150,000.00147,883 
Bank of America CorpVARIABLE, 04/24/2028, 3.705%, $410,000.00394,657 
Bank of America CorpVARIABLE, 04/27/2028, 4.376%, $240,000.00236,541 
Bank of America CorpVARIABLE, 04/27/2033, 4.571%, $500,000.00481,870 
Bank of America CorpVARIABLE, 07/22/2027, 1.734%, $390,000.00360,438 
Bank of America CorpVARIABLE, 07/22/2028, 4.948%, $500,000.00511,250 
Bank of America CorpVARIABLE, 09/15/2027, 5.933%, $210,000.00218,026 
Bank of America CorpVARIABLE, 10/22/2025, 2.456%, $260,000.00254,427 
Bank of America CorpVARIABLE, 10/24/2026, 1.197%, $220,000.00204,781 
Bank of America CorpVARIABLE, 12/06/2025, 1.53%, $660,000.00635,165 
Bank of MontrealFIXED, 02/01/2028, 5.203%, $290,000.00301,911 
Bank of MontrealFIXED, 02/01/2028, 5.203%, $60,000.0062,464 
27


Bank of MontrealFIXED, 09/14/2027, 4.7%, $410,000.00417,130 
Bank of MontrealFIXED, 09/15/2026, 1.25%, $160,000.00146,412 
Bank of MontrealFIXED, 12/11/2026, 5.266%, $180,000.00183,064 
*
Bank of New York Mellon CorpVARIABLE, 02/01/2029, 4.543%, $220,000.00222,727 
*
Bank of New York Mellon CorpVARIABLE, 04/26/2027, 4.947%, $230,000.00232,181 
*
Bank of New York Mellon CorpVARIABLE, 07/24/2026, 4.414%, $130,000.00131,146 
*
Bank of New York Mellon CorpVARIABLE, 07/26/2030, 4.596%, $330,000.00334,571 
*
Bank of New York Mellon CorpVARIABLE, 10/25/2028, 5.802%, $60,000.0062,884 
*
Bank of New York Mellon CorpVARIABLE, 10/25/2029, 6.317%, $150,000.00161,220 
*
Bank of New York Mellon/TheVARIABLE, 11/21/2025, 5.224%, $250,000.00251,396 
Bank of Nova Scotia/TheFIXED, 02/01/2030, 4.85%, $50,000.0050,973 
Bank of Nova Scotia/TheFIXED, 02/02/2026, 4.75%, $170,000.00173,010 
Bank of Nova Scotia/TheFIXED, 06/12/2028, 5.25%, $310,000.00315,802 
Bank of Nova Scotia/TheFIXED, 12/07/2026, 5.35%, $370,000.00377,716 
Boerne Independent School DistrictFIXED, 02/01/2024, 0.636%, $535,000.00534,716 
Boerne Independent School DistrictFIXED, 02/01/2025, 0.786%, $475,000.00456,340 
BPCE SAFIXED, 01/14/2025, 1.625%, $330,000.00320,364 
BPCE SAFIXED, 07/19/2027, 4.75%, $370,000.00373,617 
Campbell Union High School DistrictFIXED, 08/01/2031, 1.712%, $650,000.00539,301 
Cedars-Sinai Health SystemFIXED, 08/15/2031, 2.288%, $550,000.00462,991 
Charles Schwab CorpVARIABLE, 05/19/2029, 5.643%, $180,000.00185,977 
Charles Schwab Corp/TheFIXED, 08/24/2026, 5.875%, $330,000.00345,372 
Charles Schwab Corp/TheVARIABLE, 11/17/2029, 6.196%, $190,000.00200,869 
CHRISTUS HealthFIXED, 07/01/2028, 4.341%, $400,000.00399,873 
City & County of Honolulu HIFIXED, 09/01/2031, 3.803%, $450,000.00434,190 
City of Chesapeake VAFIXED, 08/01/2024, 1.649%, $265,000.00261,680 
City of Chesapeake VAFIXED, 08/01/2025, 1.699%, $195,000.00187,902 
CLEVELAND CLINIC HEALTH SYSTEMFIXED, 01/01/2031, 2.785%, $790,000.00714,188 
Commonwealth of MassachusettsFIXED, 07/15/2029, 3.769%, $500,000.00497,430 
Commonwealth of MassachusettsFIXED, 07/15/2031, 4.11%, $565,038.02571,158 
Consumers 2023 Securitization Funding LLCFIXED, 09/01/2030, 5.21%, $460,000.00472,184 
Consumers Energy CoFIXED, 02/15/2029, 4.9%, $610,000.00633,529 
Corebridge Global FundingFIXED, 09/19/2028, 5.9%, $200,000.00209,583 
28


County of Bexar TXFIXED, 06/15/2031, 2.021%, $390,000.00331,250 
Deaconess Health, INFIXED, 03/01/2024, 0.955%, $285,000.00283,958 
DeKalb Kane LaSalle Counties Comm College Dist 523FIXED, 02/01/2024, 1.96%, $240,000.00241,360 
Dominion Energy South Carolina IncFIXED, 12/01/2031, 2.3%, $250,000.00209,098 
DTE Electric CoFIXED, 03/01/2031, 2.625%, $240,000.00212,377 
DTE Electric Securitization Funding II LLCFIXED, 03/01/2032, 5.97%, $410,000.00434,721 
Duke Energy Carolinas LLCFIXED, 04/15/2031, 2.55%, $370,000.00323,268 
Duke Energy Florida LLCFIXED, 12/15/2031, 2.4%, $410,000.00346,871 
Duke Energy Progress LLCFIXED, 03/15/2029, 3.45%, $335,000.00323,219 
East Ohio Gas Co/TheFIXED, 06/15/2025, 1.3%, $240,000.00227,036 
Entergy Mississippi LLCFIXED, 06/01/2028, 2.85%, $600,000.00555,643 
Evergy Metro IncFIXED, 06/01/2030, 2.25%, $280,000.00239,377 
Evergy Metro IncFIXED, 08/15/2025, 3.65%, $310,000.00307,516 
Goldman Sachs Group Inc/TheFLOATING, 10/21/2024, 5.85881%, $420,000.00420,226 
Goldman Sachs Group Inc/TheVARIABLE, 02/24/2028, 2.64%, $140,000.00131,125 
Goldman Sachs Group Inc/TheVARIABLE, 02/24/2028, 2.64%, $300,000.00280,981 
Goldman Sachs Group Inc/TheVARIABLE, 08/10/2026, 5.798%, $220,000.00227,164 
Goldman Sachs Group Inc/TheVARIABLE, 08/23/2028, 4.482%, $270,000.00269,793 
Goldman Sachs Group Inc/TheVARIABLE, 09/10/2024, 5.91509%, $290,000.00290,525 
Goldman Sachs Group Inc/TheVARIABLE, 09/10/2027, 1.542%, $780,000.00711,143 
Goldman Sachs Group Inc/TheVARIABLE, 10/21/2027, 1.948%, $430,000.00395,157 
Guardian Life Global FundingFIXED, 03/29/2027, 3.246%, $140,000.00134,571 
Guardian Life Global FundingFIXED, 03/29/2027, 3.246%, $200,000.00192,244 
Guardian Life Global FundingFIXED, 06/23/2025, 1.1%, $210,000.00198,251 
Honolulu City & County Board of Water SupplyFIXED, 07/01/2024, 1.72%, $215,000.00213,583 
HOUSTON TX UTILITY SYS REVENUE FIXED, 11/15/2030, 3.923%, $255,000.00247,162 
Indiana UniversityFIXED, 06/01/2027, 2.03%, $750,000.00696,219 
Johns Hopkins Health System Corp/TheFIXED, 01/01/2030, 2.42%, $260,000.00229,462 
JPMorgan Chase & CoVARIABLE, 02/01/2028, 3.782%, $600,000.00589,426 
JPMorgan Chase & CoVARIABLE, 02/24/2026, 2.595%, $470,000.00459,506 
JPMorgan Chase & CoVARIABLE, 02/24/2028, 2.947%, $550,000.00523,504 
JPMorgan Chase & CoVARIABLE, 04/22/2027, 1.578%, $370,000.00342,669 
JPMorgan Chase & CoVARIABLE, 04/26/2028, 4.323%, $50,000.0049,679 
29


JPMorgan Chase & CoVARIABLE, 06/01/2025, 0.824%, $220,000.00215,452 
JPMorgan Chase & CoVARIABLE, 06/01/2028, 2.182%, $380,000.00348,489 
JPMorgan Chase & CoVARIABLE, 06/14/2030, 4.565%, $120,000.00117,810 
JPMorgan Chase & CoVARIABLE, 06/23/2025, 0.969%, $500,000.00488,444 
JPMorgan Chase & CoVARIABLE, 07/23/2029, 4.203%, $120,000.00118,927 
JPMorgan Chase & CoVARIABLE, 07/25/2028, 4.851%, $40,000.0040,882 
JPMorgan Chase & CoVARIABLE, 10/22/2027, 6.07%, $180,000.00187,321 
JPMorgan Chase & CoVARIABLE, 11/19/2026, 1.045%, $250,000.00231,905 
JPMorgan Chase & CoVARIABLE, 12/05/2029, 4.452%, $310,000.00304,896 
JPMorgan Chase & CoVARIABLE, 12/10/2025, 1.561%, $150,000.00144,554 
JPMorgan Chase Bank NAFIXED, 12/08/2026, 5.11%, $360,000.00364,583 
Kentucky Utilities CoFIXED, 10/01/2025, 3.3%, $800,000.00786,631 
Louisiana Local Govt Env Fac. & Comm Dev AuthFIXED, 02/01/2027, 3.615%, $559,961.20555,869 
Louisiana Local Govt Env Fac. & Comm Dev AuthFIXED, 02/01/2031, 4.145%, $600,000.00600,943 
Louisiana Local Govt Env Fac. & Comm Dev AuthFIXED, 06/01/2031, 5.081%, $466,341.62471,776 
Massachusetts School Building AuthorityFIXED, 08/15/2030, 1.753%, $285,000.00246,848 
MassMutual Global Funding IIFIXED, 04/10/2026, 4.5%, $0.00(29)
Mercedes-Benz Finance North America LLCFIXED, 03/30/2028, 4.8%, $180,000.00184,049 
Mercedes-Benz Finance North America LLCFIXED, 08/03/2028, 5.1%, $150,000.00156,184 
Metropolitan Life Global Funding IFIXED, 01/11/2027, 1.875%, $510,000.00470,509 
Metropolitan Life Global Funding IFIXED, 03/21/2029, 3.3%, $170,000.00159,391 
Metropolitan Life Global Funding IFIXED, 06/30/2027, 4.4%, $155,000.00152,408 
MidAmerican Energy CoFIXED, 05/01/2027, 3.1%, $160,000.00153,849 
Morgan StanleyVARIABLE, 01/21/2028, 2.475%, $150,000.00141,008 
Morgan StanleyVARIABLE, 01/21/2028, 2.475%, $460,000.00432,426 
Morgan StanleyVARIABLE, 01/22/2025, 0.791%, $430,000.00430,237 
Morgan StanleyVARIABLE, 01/28/2027, 5.05%, $120,000.00122,722 
Morgan StanleyVARIABLE, 02/18/2026, 2.63%, $330,000.00322,633 
Morgan StanleyVARIABLE, 04/20/2028, 4.21%, $310,000.00305,769 
Morgan StanleyVARIABLE, 05/30/2025, 0.79%, $270,000.00264,148 
Morgan StanleyVARIABLE, 07/17/2026, 4.679%, $220,000.00222,619 
Morgan StanleyVARIABLE, 07/20/2027, 1.512%, $720,000.00662,779 
Morgan StanleyVARIABLE, 07/20/2029, 5.449%, $110,000.00114,846 
30


Morgan StanleyVARIABLE, 07/22/2025, 2.72%, $190,000.00189,157 
Morgan StanleyVARIABLE, 10/21/2025, 1.164%, $150,000.00144,712 
Mountain View-Whisman School DistrictFIXED, 09/01/2024, 1.329%, $365,000.00358,346 
Mutual of Omaha Cos Global FundingFIXED, 07/27/2026, 5.8%, $140,000.00146,190 
Mutual of Omaha Cos Global FundingFIXED, 12/12/2028, 5.45%, $100,000.00102,436 
Mutual of Omaha Cos Global FundingFIXED, 12/12/2028, 5.45%, $300,000.00307,308 
New York Hospital for Special SurgeryFIXED, 04/01/2028, 3.737%, $80,000.0076,530 
New York Life Global FundingFIXED, 01/09/2028, 4.85%, $310,000.00319,262 
New York Life Global FundingFIXED, 09/18/2026, 5.45%, $280,000.00290,632 
New York State Dormitory AuthorityFIXED, 03/15/2026, 2.738%, $400,000.00389,313 
North Dakota Public Finance AuthorityFIXED, 12/01/2029, 2.13%, $500,000.00438,428 
North Dakota Public Finance AuthorityFIXED, 12/01/2030, 4.05%, $250,000.00242,244 
Northern States Power Co/MNFIXED, 04/01/2031, 2.25%, $80,000.0069,221 
Northwestern Mutual Global FundingFIXED, 01/14/2026, 0.8%, $260,000.00241,435 
Northwestern Mutual Global FundingFIXED, 04/04/2029, 3.3%, $220,000.00204,382 
NTT Finance CorpFIXED, 04/03/2026, 1.162%, $200,000.00185,114 
NTT Finance CorpFIXED, 04/03/2026, 1.162%, $540,000.00499,808 
NYC Transit Fin Auth Future Tax RevFIXED, 08/01/2025, 3.35%, $300,000.00298,101 
NYC Transitional Finance Auth Future Tax Sec RevFIXED, 02/01/2029, 3.45%, $235,000.00227,648 
OhioHealth CorpFIXED, 11/15/2031, 2.297%, $560,000.00473,728 
Ohlone Community College DistrictFIXED, 08/01/2029, 2.337%, $475,000.00428,981 
Oklahoma Development Finance AuthorityFIXED, 02/01/2032, 4.285%, $82,662.5782,721 
Oklahoma Development Finance AuthorityFIXED, 05/01/2032, 3.877%, $414,573.75403,518 
Oklahoma Development Finance AuthorityFIXED, 12/01/2033, 4.135%, $265,618.97260,468 
Oncor Electric Delivery Co LLCFIXED, 05/15/2030, 2.75%, $360,000.00323,703 
Orlando Health Obligated GroupFIXED, 10/01/2028, 3.777%, $345,000.00329,619 
PacifiCorpFIXED, 06/15/2029, 3.5%, $290,000.00272,903 
PacifiCorpFIXED, 07/01/2025, 3.35%, $250,000.00247,435 
PacifiCorpFIXED, 09/15/2030, 2.7%, $390,000.00341,479 
Pricoa Global Funding IFIXED, 08/28/2026, 5.55%, $150,000.00156,000 
Pricoa Global Funding IFIXED, 09/01/2026, 1.2%, $410,000.00374,115 
Principal Life Global Funding IIFIXED, 01/10/2025, 1.375%, $320,000.00309,365 
Protective Life Global FundingFIXED, 01/13/2025, 1.646%, $190,000.00184,139 
31


Protective Life Global FundingFIXED, 03/28/2025, 3.218%, $150,000.00147,562 
Protective Life Global FundingFIXED, 07/06/2027, 4.714%, $150,000.00152,623 
Protective Life Global FundingFIXED, 07/06/2027, 4.714%, $165,000.00167,885 
Rochester Gas and Electric CorpFIXED, 06/01/2027, 3.1%, $360,000.00340,618 
Royal Bank of CanadaFIXED, 01/12/2026, 4.875%, $280,000.00287,035 
Royal Bank of CanadaFIXED, 05/04/2027, 3.625%, $110,000.00107,021 
Royal Bank of CanadaFIXED, 07/20/2026, 5.2%, $230,000.00238,069 
Royal Bank of CanadaFIXED, 08/03/2027, 4.24%, $400,000.00402,612 
San Diego Community College DistrictFIXED, 08/01/2033, 2.383%, $800,000.00669,975 
San Diego Unified School District/CAFIXED, 07/01/2034, 2.414%, $550,000.00453,811 
San Jose Redevelopment Agency Successor AgencyFIXED, OID, 08/01/2029, 3.25%, $370,000.00351,182 
South Dakota State Building AuthorityFIXED, 06/01/2024, 0.802%, $575,000.00565,276 
Spire Missouri IncFLOATING, 12/02/2024, 5.90748%, $550,000.00551,949 
Stanford Health CareFIXED, 08/15/2030, 3.31%, $325,000.00303,059 
State of CaliforniaFIXED, 04/01/2029, 3.05%, $575,000.00544,735 
State of HawaiiFIXED, 08/01/2029, 1.892%, $685,000.00608,707 
State of MississippiFIXED, 10/01/2033, 2.287%, $560,000.00464,681 
State of OregonFIXED, 06/01/2027, 5.892%, $400,000.00411,296 
State of TexasFIXED, 04/01/2032, 2.804%, $180,000.00160,526 
State of TexasFIXED, 04/01/2033, 4.631%, $500,000.00508,164 
State of WisconsinFIXED, 05/01/2032, 1.772%, $265,000.00216,159 
State Street CorpVARIABLE, 02/06/2026, 1.746%, $260,000.00251,689 
State Street CorpVARIABLE, 02/07/2028, 2.203%, $240,000.00225,137 
State Street CorpVARIABLE, 02/07/2033, 2.623%, $120,000.00102,501 
State Street CorpVARIABLE, 11/21/2029, 5.684%, $420,000.00437,233 
Sutter HealthFIXED, 08/15/2025, 1.321%, $185,000.00174,282 
Texas Electric Market Stabilization Funding N LLCFIXED, 08/01/2034, 4.265%, $785,551.70773,459 
Texas Natural Gas Securitization Finance CorpFIXED, 04/01/2035, 5.102%, $855,000.00885,905 
Toronto-Dominion Bank/TheFIXED, 01/10/2028, 5.156%, $330,000.00342,867 
Toronto-Dominion Bank/TheFIXED, 03/10/2027, 2.8%, $360,000.00343,224 
Toronto-Dominion Bank/TheFIXED, 06/03/2026, 1.2%, $130,000.00119,516 
Toronto-Dominion Bank/TheFIXED, 07/17/2026, 5.532%, $350,000.00365,615 
Toronto-Dominion Bank/TheFIXED, 09/15/2027, 4.693%, $190,000.00192,412 
32


Trinity HealthFIXED, 12/01/2034, 3.084%, $620,000.00541,849 
Truist BankFIXED, 09/16/2025, 3.625%, $500,000.00488,611 
TSMC Arizona CorpFIXED, 10/25/2026, 1.75%, $300,000.00277,165 
Twin Falls County School Dist No 411 Twin FallsFIXED, 09/15/2024, 4%, $280,000.00281,531 
Union Electric CoFIXED, 03/15/2030, 2.95%, $700,000.00638,952 
US BancorpVARIABLE, 01/27/2028, 2.215%, $390,000.00362,340 
US BancorpVARIABLE, 07/22/2028, 4.548%, $200,000.00201,209 
US BancorpVARIABLE, 07/22/2028, 4.548%, $460,000.00462,781 
US BancorpVARIABLE, 10/21/2026, 5.727%, $410,000.00417,232 
US BancorpVARIABLE, 10/21/2033, 5.85%, $180,000.00187,890 
Wells Fargo & CoVARIABLE, 03/02/2033, 3.35%, $460,000.00408,026 
Wells Fargo & CoVARIABLE, 03/24/2028, 3.526%, $440,000.00424,195 
Wells Fargo & CoVARIABLE, 03/24/2028, 3.526%, $700,000.00674,856 
Wells Fargo & CoVARIABLE, 04/25/2026, 3.908%, $330,000.00325,840 
Wells Fargo & CoVARIABLE, 07/25/2028, 4.808%, $330,000.00669,164 
Wells Fargo & CoVARIABLE, 07/25/2029, 5.574%, $140,000.00146,475 
Wells Fargo & CoVARIABLE, 07/25/2033, 4.897%, $100,000.0099,677 
Wells Fargo & CoVARIABLE, 08/15/2026, 4.54%, $200,000.00201,339 
Westpac Banking CorpFLOATING, 02/26/2024, 6.41129%, $180,000.00181,209 
TOTAL CORPORATE DEBT INSTRUMENTS - PREFERRED$67,117,169 
CORPORATE DEBT INSTRUMENTS - ALL OTHER
Agilent Technologies IncFIXED, 09/15/2029, 2.75%, $180,000.00$166,228 
Albemarle CorpFIXED, 06/01/2027, 4.65%, $230,000.00226,872 
Albemarle CorpFIXED, 06/01/2027, 4.65%, $240,000.00236,736 
Alexandria Real Estate Equities IncFIXED, 01/15/2026, 4.3%, $70,000.0070,291 
Alexandria Real Estate Equities IncFIXED, 01/15/2027, 3.95%, $300,000.00295,943 
Alexandria Real Estate Equities IncFIXED, 04/15/2026, 3.8%, $220,000.00215,920 
Alexandria Real Estate Equities IncFIXED, 04/30/2025, 3.45%, $150,000.00147,346 
Ally Auto Receivables Trust 2022-2FIXED, 05/17/2027, 4.76%, $555,000.00553,818 
Ally Auto Receivables Trust 2022-3FIXED, 04/15/2027, 5.07%, $425,000.00425,801 
Ameren CorpFIXED, 12/01/2026, 5.7%, $120,000.00123,633 
American Express Credit Account Master TrustFIXED, 08/15/2027, 3.75%, $790,000.00777,946 
Americredit Automobile Receivables Trust 2023-1FIXED, 11/18/2027, 5.62%, $500,000.00503,997 
33


AMEX Credit Account Master Trust 2023-1FIXED, 05/15/2028, 4.87%, $345,000.00348,383 
AMEX Credit Acct Mstr TrFIXED, 09/15/2028, 5.23%, $365,000.00371,891 
Amgen IncFIXED, 03/02/2028, 5.15%, $180,000.00187,216 
Amphenol CorpFIXED, 03/30/2026, 4.75%, $100,000.00101,307 
Anglo American Capital PLCFIXED, 03/17/2028, 2.25%, $200,000.00179,681 
Anglo American Capital PLCFIXED, 04/10/2027, 4.75%, $200,000.00199,628 
Anglo American Capital PLCFIXED, 09/10/2030, 2.625%, $350,000.00301,045 
Anglo American Capital PLCFIXED, 09/11/2024, 3.625%, $200,000.00198,977 
Anglo American Capital PLCFIXED, 09/11/2024, 3.625%, $220,000.00218,875 
Aon Corp / Aon Global Holdings PLCFIXED, 05/28/2027, 2.85%, $140,000.00132,767 
ARI Fleet Lease Trust 2021-AFIXED, 03/15/2030, 0.37%, $24,309.8424,263 
ARI Fleet Lease Trust 2023-AFIXED, 02/17/2032, 5.41%, $516,703.34516,958 
AT&T IncFIXED, 02/01/2028, 1.65%, $200,000.00179,626 
AT&T IncFIXED, 02/01/2032, 2.25%, $430,000.00359,747 
AT&T IncFIXED, 03/25/2024, 0.9%, $420,000.00416,378 
AT&T IncFIXED, 03/25/2026, 1.7%, $520,000.00489,061 
AT&T IncFIXED, 05/15/2035, 4.5%, $340,000.00324,676 
AT&T IncFIXED, 06/01/2027, 2.3%, $90,000.0083,786 
AT&T IncFLOATING, 06/12/2024, 6.80765%, $290,000.00292,103 
BA Credit Card TrustFIXED, 04/15/2028, 5%, $435,000.00438,611 
BA Credit Card TrustFIXED, 05/15/2028, 4.79%, $230,000.00231,363 
BAE Systems Holdings IncFIXED, 10/07/2024, 3.8%, $325,000.00323,363 
BAE Systems Holdings IncFIXED, 12/15/2025, 3.85%, $410,000.00401,751 
BAE Systems PLCFIXED, 02/15/2031, 1.9%, $290,000.00240,831 
BANK 2017-BNK5FIXED, 06/15/2060, 3.131%, $740,000.00697,008 
BANK 2017-BNK6FIXED, 07/15/2060, 3.254%, $475,000.00450,673 
BANK 2017-BNK6FIXED, 07/15/2060, 3.518%, $680,000.00646,002 
BANK 2017-BNK8FIXED, 11/15/2050, 3.229%, $368,951.88345,770 
BANK 2018-BNK11FIXED, 03/15/2061, 3.784%, $876,887.92835,689 
Bank of America Auto Trust 2023-1FIXED, 02/15/2028, 5.53%, $485,000.00491,926 
Bank of America Auto Trust 2023-2FIXED, 06/15/2028, 5.74%, $865,000.00883,969 
Bank of America Commercial Mtg Trust 2017-BNK3FIXED, 02/15/2050, 3.311%, $524,467.88499,062 
Baxter International IncFIXED, 02/01/2027, 1.915%, $520,000.00480,677 
34


Baxter International IncFIXED, 04/01/2030, 3.95%, $105,000.00100,559 
Baxter International IncFIXED, 11/29/2024, 1.322%, $330,000.00318,174 
Baxter International IncFIXED, 11/29/2024, 1.322%, $680,000.00655,632 
Bayer US Finance II LLCFIXED, 12/15/2025, 4.25%, $210,000.00205,070 
Bayer US Finance II LLCFIXED, 12/15/2028, 4.375%, $350,000.00333,636 
Bayer US Finance LLCFIXED, 10/08/2024, 3.375%, $235,000.00232,065 
Becton Dickinson & CoFIXED, 02/13/2028, 4.693%, $220,000.00225,087 
Bell Telephone Co of Canada or Bell CanadaFIXED, 03/17/2024, 0.75%, $335,000.00332,294 
Black Hills CorpFIXED, 01/15/2027, 3.15%, $140,000.00134,605 
Black Hills CorpFIXED, 08/23/2024, 1.037%, $400,000.00389,645 
BMW Vehicle Lease Trust 2023-2FIXED, 09/25/2026, 5.99%, $465,000.00472,194 
BMW Vehicle Owner Trust 2023-AFIXED, 02/25/2028, 5.47%, $295,000.00298,387 
BNP Paribas SAFIXED, 08/14/2028, 4.4%, $380,000.00376,810 
BNP Paribas SAVARIABLE, 01/10/2025, 4.705%, $370,000.00378,237 
BNP Paribas SAVARIABLE, 11/19/2025, 2.819%, $700,000.00684,456 
BNP Paribas Sec CorpVARIABLE, 06/30/2027, 1.675%, $350,000.00320,686 
BOCA Commercial Mortgage Trust 2022-BOCAFLOATING, 05/15/2039, 7.13141%, $280,000.00279,366 
Boeing Co/TheFIXED, 02/01/2027, 2.7%, $450,000.00429,674 
Boeing Co/TheFIXED, 02/04/2026, 2.196%, $20,000.0019,083 
Boeing Co/TheFIXED, 02/04/2026, 2.196%, $70,000.0066,792 
Boeing Co/TheFIXED, 05/01/2025, 4.875%, $335,000.00336,072 
Boeing Co/TheFIXED, 05/01/2027, 5.04%, $15,000.0015,267 
Boeing Co/TheFIXED, 05/01/2030, 5.15%, $230,000.00236,422 
Boston Properties LPFIXED, 01/15/2025, 3.2%, $80,000.0078,952 
Boston Properties LPFIXED, 02/01/2026, 3.65%, $250,000.00244,484 
Boston Properties LPFIXED, 02/01/2026, 3.65%, $430,000.00420,513 
BPR Trust 2022-OANAFLOATING, 04/15/2037, 7.25981%, $570,000.00563,731 
BPR Trust 2022-OANAFLOATING, 04/15/2037, 7.25981%, $775,000.00766,477 
Brazos Education Loan AuthorityFLOATING, 01/25/2072, 6.17043%, $509,282.73500,301 
Brazos Education Loan Authority IncFLOATING, 11/25/2071, 6.05043%, $990,563.52971,321 
BX Commercial Mortgage Trust 2019-XLFLOATING, 10/15/2036, 6.39629%, $167,994.55168,075 
BX Commercial Mortgage Trust 2022-PSBFLOATING, 08/15/2039, 7.81281%, $708,614.68713,102 
BX Trust 2021-RISEFLOATING, 11/15/2036, 6.22398%, $366,813.39361,912 
35


BX Trust 2022-GPAFLOATING, 08/15/2039, 7.52681%, $675,000.00678,034 
BX Trust 2022-INDFLOATING, 04/15/2037, 6.85281%, $765,312.32762,028 
Canadian Natural Resources LtdFIXED, 04/15/2024, 3.8%, $220,000.00220,475 
Canadian Pacific Railway CoFIXED, 12/02/2024, 1.35%, $400,000.00385,701 
Capital One Financial CorpVARIABLE, 02/01/2029, 5.468%, $120,000.00122,435 
Capital One Financial CorpVARIABLE, 03/01/2030, 3.273%, $140,000.00126,687 
Capital One Financial CorpVARIABLE, 03/03/2026, 2.636%, $240,000.00232,078 
Capital One Financial CorpVARIABLE, 05/10/2028, 4.927%, $100,000.0099,036 
Capital One Financial CorpVARIABLE, 05/10/2028, 4.927%, $120,000.00118,844 
Capital One Financial CorpVARIABLE, 05/10/2033, 5.268%, $40,000.0039,618 
Capital One Financial CorpVARIABLE, 11/02/2027, 1.878%, $100,000.0090,299 
Capital One NAVARIABLE, 01/28/2026, 2.28%, $380,000.00370,196 
Capital One Prime Auto Receivables Trust 2022-2FIXED, 05/17/2027, 3.66%, $725,000.00712,628 
Capital One Prime Auto Receivables Trust 2023-2FIXED, 06/15/2028, 5.82%, $225,000.00231,013 
Carmax Auto Owner Trust 2021-1FIXED, 12/15/2025, 0.34%, $209,786.62205,965 
CarMax Auto Owner Trust 2022-2FIXED, 02/16/2027, 3.49%, $500,724.66494,081 
CarMax Auto Owner Trust 2023-1FIXED, 10/15/2027, 4.75%, $850,000.00848,494 
Carmax Auto Owner Trust 2023-3FIXED, 05/15/2028, 5.28%, $355,000.00359,714 
CarMax Auto Owner Trust 2023-4FIXED, 07/17/2028, 6%, $520,000.00536,056 
Carrier Global CorpFIXED, 02/15/2025, 2.242%, $170,000.00166,201 
Carrier Global CorpFIXED, 02/15/2025, 2.242%, $285,000.00278,631 
Carrier Global CorpFIXED, 11/30/2025, 5.8%, $120,000.00122,201 
CGMS Commercial Mortgage Trust 2017-B1FIXED, 08/15/2050, 3.197%, $1,093,440.921,027,419 
Chase Auto Owner Trust 2022-AFIXED, 06/25/2027, 3.98%, $840,000.00830,268 
Chesapeake Funding II LLCFIXED, 04/15/2033, 0.47%, $242,064.70236,958 
Chesapeake Funding II LLCFIXED, 08/15/2032, 0.87%, $71,197.1870,736 
Citigroup Commercial Mortgage Trust 2014-GC21FIXED, 05/10/2047, 3.855%, $880,000.00878,218 
Citigroup Commercial Mortgage Trust 2015-GC27FIXED, 02/10/2048, 3.137%, $255,000.00249,481 
Citigroup Commercial Mortgage Trust 2015-GC31FIXED, 06/10/2048, 3.762%, $360,000.00347,526 
Citigroup Commercial Mortgage Trust 2016-P6FIXED, 12/10/2049, 3.458%, $425,668.18408,208 
Citigroup Commercial Mortgage Trust 2018-B2FIXED, 03/10/2051, 4.009%, $450,000.00430,054 
Citigroup IncVARIABLE, 01/25/2026, 2.014%, $470,000.00455,787 
Citigroup IncVARIABLE, 02/24/2028, 3.07%, $360,000.00343,331 
36


Citigroup IncVARIABLE, 02/24/2028, 3.07%, $80,000.0076,296 
Citigroup IncVARIABLE, 03/17/2026, 3.29%, $220,000.00216,300 
Citigroup IncVARIABLE, 03/17/2033, 3.785%, $140,000.00127,662 
Citigroup IncVARIABLE, 04/08/2026, 3.106%, $80,000.0078,336 
Citigroup IncVARIABLE, 04/24/2025, 3.352%, $520,000.00519,288 
Citigroup IncVARIABLE, 05/01/2025, 0.981%, $280,000.00275,720 
Citigroup IncVARIABLE, 05/24/2028, 4.658%, $60,000.0059,915 
Citigroup IncVARIABLE, 05/24/2028, 4.658%, $80,000.0079,887 
Citigroup IncVARIABLE, 06/09/2027, 1.462%, $390,000.00357,397 
Citigroup IncVARIABLE, 07/24/2028, 3.668%, $730,000.00707,889 
Citigroup IncVARIABLE, 10/27/2028, 3.52%, $180,000.00171,498 
Citigroup IncVARIABLE, 11/03/2025, 1.281%, $145,000.00139,822 
Citizens Auto Receivables Trust 2023-1FIXED, 01/18/2028, 5.84%, $475,000.00483,001 
Citizens Auto Receivables Trust 2023-1FIXED, 01/18/2028, 5.84%, $935,000.00950,749 
Citizens Auto Receivables Trust 2023-2FIXED, 02/15/2028, 5.83%, $450,000.00457,633 
Citizens Bank NA/Providence RIVARIABLE, 05/23/2025, 4.119%, $330,000.00323,500 
Citizens Bank NA/Providence RIVARIABLE, 08/09/2028, 4.575%, $500,000.00484,068 
CNH Equipment Trust 2022-BFIXED, 08/16/2027, 3.89%, $680,000.00669,550 
CNH Industrial Capital LLCFIXED, 05/23/2025, 3.95%, $180,000.00177,586 
CNH Industrial Capital LLCFIXED, 10/14/2025, 5.45%, $100,000.00101,647 
COMM 2014-CCRE16 Mortgage TrustFIXED, 04/10/2047, 4.051%, $1,000,000.00995,490 
COMM 2014-CCRE17 Mortgage TrustFIXED, 05/10/2047, 3.977%, $510,000.00507,443 
COMM 2014-CCRE18 Mortgage TrustFIXED, 07/15/2047, 3.828%, $520,000.00515,849 
COMM 2014-CR14 Mortgage TrustVARIABLE, 02/10/2047, 4.236%, $218,923.91219,267 
COMM 2015-CCRE22 Mortgage TrustFIXED, 03/10/2048, 3.048%, $1,000,000.00977,559 
COMM 2015-DC1 Mortgage TrustFIXED, 02/10/2048, 3.078%, $184,488.17181,372 
COMM 2016-COR1 Mortgage TrustFIXED, 10/10/2049, 2.826%, $568,978.67532,470 
COMM 2016-CR28 Mortgage TrustFIXED, 02/10/2049, 3.495%, $471,893.53457,425 
COMM 2016-CR28 Mortgage TrustFIXED, 02/10/2049, 3.762%, $320,000.00308,645 
CommonSpirit HealthFIXED, 10/01/2024, 2.76%, $70,000.0068,927 
Cooperatieve Rabobank UAVARIABLE, 02/28/2029, 5.564%, $310,000.00321,001 
Cooperatieve Rabobank UAVARIABLE, 04/06/2028, 3.649%, $440,000.00423,430 
Cooperatieve Rabobank UAVARIABLE, 06/24/2026, 1.339%, $480,000.00452,652 
37


Cooperatieve Rabobank UAVARIABLE, 08/22/2028, 4.655%, $280,000.00280,602 
Cooperatieve Rabobank UAVARIABLE, 09/24/2026, 1.004%, $250,000.00232,829 
Coterra Energy IncFIXED, 05/15/2027, 3.9%, $190,000.00184,909 
CRH America IncFIXED, 05/18/2025, 3.875%, $240,000.00235,918 
CRH America IncFIXED, 05/18/2025, 3.875%, $300,000.00294,897 
CSAIL 2015-C4 Commercial Mortgage TrustFIXED, 11/15/2048, 3.5438%, $347,546.76338,029 
CSAIL 2015-C4 Commercial Mortgage TrustFIXED, 11/15/2048, 3.8079%, $465,000.00450,955 
CSAIL 2016-C5 Commercial Mortgage TrustFIXED, 11/15/2048, 3.7567%, $290,000.00280,772 
CSAIL 2018-C14 Commercial Mortgage TrustVARIABLE, 11/15/2051, 4.4216%, $565,000.00537,494 
CubeSmart LPFIXED, 11/15/2025, 4%, $120,000.00117,295 
CubeSmart LPFIXED, 12/15/2028, 2.25%, $210,000.00185,452 
CVS Health CorpFIXED, 02/20/2026, 5%, $240,000.00245,589 
CVS Health CorpFIXED, 02/21/2030, 5.125%, $370,000.00383,091 
CVS Health CorpFIXED, 03/25/2028, 4.3%, $75,000.0074,675 
CVS Health CorpFIXED, 06/01/2026, 2.875%, $130,000.00124,510 
CVS Health CorpFIXED, 08/15/2026, 3%, $250,000.00241,888 
CVS Health CorpFIXED, 08/21/2027, 1.3%, $340,000.00303,811 
Daimler Truck Finance North America LLCFIXED, 04/07/2027, 3.65%, $200,000.00194,594 
Daimler Truck Finance North America LLCFIXED, 08/08/2025, 5.6%, $180,000.00185,166 
Daimler Truck Finance North America LLCFIXED, 12/13/2024, 1.625%, $250,000.00241,008 
Daimler Truck Finance North America LLCFIXED, 12/14/2026, 2%, $500,000.00460,274 
DBJPM 16-C1 Mortgage TrustFIXED, 05/10/2049, 3.015%, $431,758.67413,644 
Dell Equipment Finance Trust 2023-2FIXED, 01/22/2029, 5.65%, $180,000.00182,418 
Dell Equipment Finance Trust 2023-3FIXED, 04/23/2029, 5.93%, $410,000.00418,239 
Digital Realty Trust LPFIXED, 01/15/2028, 5.55%, $160,000.00167,001 
Digital Realty Trust LPFIXED, 07/15/2028, 4.45%, $250,000.00249,358 
Discover Card Execution Note TrustFIXED, 10/15/2027, 5.03%, $400,000.00402,526 
DLLAA 2021-1 LLCFIXED, 04/17/2026, 0.67%, $548,478.18533,019 
DLLAA 2023-1 LLCFIXED, 02/22/2028, 5.64%, $510,000.00519,130 
DLLAD 2021-1 LLCFIXED, 06/20/2029, 0.9%, $320,000.00292,008 
DLLAD 2021-1 LLCFIXED, 09/21/2026, 0.64%, $571,226.69551,195 
DLLMT 2021-1 LLCFIXED, 07/21/2025, 1%, $327,779.76321,201 
Donlen Fleet Lease Funding 2 LLCFIXED, 12/11/2034, 0.56%, $115,900.54114,218 
38


DTE Energy CoSTEP CPN, 11/01/2024, 4.22%, $230,000.00228,927 
DuPont de Nemours IncFIXED, 11/15/2025, 4.493%, $165,000.00164,761 
ECMC Group Student Loan Trust 2018-2FLOATING, 09/25/2068, 6.25191%, $653,915.05643,785 
EdLinc Student Loan Funding Trust 2012-1FLOATING, 09/25/2030, 6.45191%, $14,155.4614,166 
Edu Fund of SouthFLOATING, 04/25/2035, 6.24564%, $48,595.4749,129 
EMD Finance LLCFIXED, 03/19/2025, 3.25%, $190,000.00187,204 
EMD Finance LLCFIXED, 03/19/2025, 3.25%, $550,000.00541,907 
Enbridge IncFIXED, 02/14/2025, 2.5%, $110,000.00107,710 
Enbridge IncFIXED, 02/16/2024, 2.15%, $150,000.00150,530 
Enbridge IncFIXED, 11/15/2026, 5.9%, $160,000.00165,708 
Enbridge IncFIXED, 11/15/2028, 6%, $370,000.00392,011 
Energy Transfer LPFIXED, 12/01/2026, 6.05%, $250,000.00258,194 
Energy Transfer LPFIXED, 12/01/2028, 6.1%, $230,000.00242,836 
Entergy Texas IncFIXED, 09/01/2026, 1.5%, $150,000.00135,760 
Enterprise Fleet Financing 2022-1 LLCFIXED, 01/20/2028, 3.03%, $148,493.48146,178 
Enterprise Fleet Financing 2022-2 LLCFIXED, 05/21/2029, 4.65%, $459,205.35456,747 
Enterprise Fleet Financing 2022-3 LLCFIXED, 07/20/2029, 4.38%, $340,922.21337,604 
Enterprise Fleet Financing 2022-4 LLCFIXED, 10/22/2029, 5.76%, $243,831.75244,996 
Enterprise Fleet Financing 2023-1 LLCFIXED, 01/22/2029, 5.51%, $432,097.59433,269 
Enterprise Fleet Financing 2023-3 LLCFIXED, 03/20/2030, 6.4%, $670,000.00686,259 
Enterprise Products Operating LLCFIXED, 07/31/2029, 3.125%, $360,000.00341,813 
Enterprise Products Operating LLCFIXED, 10/16/2028, 4.15%, $140,000.00139,586 
Equifax IncFIXED, 06/01/2028, 5.1%, $90,000.0091,246 
Equifax IncFIXED, 09/15/2031, 2.35%, $170,000.00142,444 
Equifax IncFIXED, 12/01/2024, 2.6%, $360,000.00351,281 
Equifax IncFIXED, 12/15/2027, 5.1%, $130,000.00131,600 
ERP Operating LPFIXED, 08/01/2027, 3.25%, $390,000.00376,030 
Evergy Missouri West IncFIXED, 12/15/2027, 5.15%, $200,000.00201,799 
Exelon CorpFIXED, 03/15/2028, 5.15%, $410,000.00422,219 
Extra Space Storage LPFIXED, 01/15/2031, 5.9%, $200,000.00210,009 
Extra Space Storage LPFIXED, 06/15/2029, 4%, $230,000.00219,879 
Extra Space Storage LPFIXED, 07/01/2026, 3.5%, $70,000.0068,417 
Federal Realty OP LPFIXED, 01/15/2024, 3.95%, $325,000.00330,573 
39


Federal Realty OP LPFIXED, 07/15/2027, 3.25%, $200,000.00189,918 
FedEx CorpFIXED, 05/15/2030, 4.25%, $320,000.00314,874 
Fidelity National Information Services IncFIXED, 07/15/2025, 4.5%, $135,000.00136,463 
Fidelity National Information Services IncFIXED, 07/15/2027, 4.7%, $160,000.00163,543 
Fifth Third Auto Trust 2023-1FIXED, 08/15/2028, 5.53%, $590,000.00599,773 
Fifth Third BancorpVARIABLE, 04/25/2028, 4.055%, $130,000.00124,984 
Fifth Third BancorpVARIABLE, 04/25/2028, 4.055%, $50,000.0048,071 
Fifth Third BancorpVARIABLE, 04/25/2033, 4.337%, $50,000.0046,993 
Fifth Third BancorpVARIABLE, 07/28/2030, 4.772%, $320,000.00319,470 
Fifth Third Bank NAFIXED, 03/15/2026, 3.85%, $200,000.00194,670 
Fiserv IncFIXED, 03/02/2028, 5.45%, $140,000.00146,819 
Fiserv IncFIXED, 07/01/2024, 2.75%, $440,000.00439,448 
Fiserv IncFIXED, 07/01/2026, 3.2%, $250,000.00244,736 
Florida Gas Transmission Co LLCFIXED, 07/15/2025, 4.35%, $560,000.00561,565 
Florida Gas Transmission Co LLCFIXED, 07/15/2025, 4.35%, $90,000.0090,251 
FMC CorpFIXED, 05/18/2026, 5.15%, $290,000.00291,490 
Ford Credit Auto Owner TrustFIXED, 04/15/2033, 1.06%, $1,395,000.001,301,378 
Ford Credit Auto Owner Trust 2018-REV1FIXED, 07/15/2031, 3.19%, $1,205,000.001,181,808 
Ford Credit Auto Owner Trust 2021-REV1FIXED, 10/17/2033, 1.37%, $1,030,000.00952,944 
Ford Credit Auto Owner Trust 2022-REV1FIXED, 11/15/2034, 3.88%, $260,000.00253,537 
Ford Credit Auto Owner Trust 2022-REV1FIXED, 11/15/2034, 3.88%, $760,000.00741,108 
Ford Credit Auto Owner Trust 2023-CFIXED, 09/15/2028, 5.53%, $320,000.00327,516 
Ford Credit Auto Owner Trust 2023-REV1FIXED, 08/15/2035, 4.85%, $1,015,000.001,020,881 
Fortune Brands Innovations IncFIXED, 06/15/2025, 4%, $110,000.00108,297 
GE HealthCare Technologies IncFIXED, 03/15/2030, 5.857%, $130,000.00138,966 
GE HealthCare Technologies IncFIXED, 11/15/2025, 5.6%, $250,000.00254,047 
GE HealthCare Technologies IncFIXED, 11/15/2027, 5.65%, $440,000.00458,951 
General Motors Financial Co IncFIXED, 04/06/2029, 4.3%, $260,000.00253,342 
General Motors Financial Co IncFIXED, 04/07/2025, 3.8%, $290,000.00286,499 
General Motors Financial Co IncFIXED, 04/09/2027, 5%, $140,000.00141,293 
General Motors Financial Co IncFIXED, 10/10/2025, 6.05%, $160,000.00164,033 
General Motors Financial Co IncFIXED, 10/15/2024, 1.2%, $260,000.00251,548 
General Motors Financial Co IncFIXED, 10/15/2028, 2.4%, $210,000.00187,687 
40


Georgia-Pacific LLCFIXED, 04/30/2030, 2.3%, $235,000.00204,716 
Georgia-Pacific LLCFIXED, 09/30/2025, 1.75%, $320,000.00304,291 
GM Fin Consumer Auto Recv Tr 2023-1FIXED, 02/16/2028, 4.66%, $490,000.00489,276 
GM Financial Automobile Leasing Trust 2022-1FIXED, 03/20/2025, 1.9%, $178,550.57177,526 
GM Financial Automobile Leasing Trust 2023-2FIXED, 07/20/2026, 5.05%, $355,000.00355,553 
GM Financial Consumer Auto Rec Trust 2022-4FIXED, 08/16/2027, 4.82%, $540,000.00539,042 
GM Financial Consumer Auto Rec Trust 2023-4FIXED, 08/16/2028, 5.78%, $350,000.00359,817 
GM Financial Consumer Automobile Rec Trust 2022-2FIXED, 02/16/2027, 3.1%, $180,000.00176,737 
GM Financial Consumer Automobile Rec Trust 2023-2FIXED, 02/16/2028, 4.47%, $500,000.00497,782 
GM Financial Revolving Receivables Trust 2021-1FIXED, 06/12/2034, 1.17%, $910,000.00825,098 
GM Financial Revolving Receivables Trust 2023-2FIXED, 08/11/2036, 5.77%, $720,000.00753,279 
GMF Floorplan Owner Revolving TrustFIXED, 06/15/2028, 5.34%, $505,000.00512,513 
GMF Floorplan Owner Revolving TrustFIXED, 06/15/2028, 5.34%, $765,000.00776,381 
GS Mortgage Securities Trust 2017-GS5FIXED, 03/10/2050, 3.409%, $612,425.54572,686 
GS Mortgage Securities Trust 2017-GS5FIXED, 03/10/2050, 3.674%, $670,000.00627,988 
GS Mortgage Securities Trust 2017-GS6FIXED, 05/10/2050, 3.164%, $581,078.70545,750 
GS Mortgage Securities Trust 2017-GS8FIXED, 11/10/2050, 3.205%, $1,125,000.001,043,631 
GSK Consumer Healthcare Capital UK PLCFIXED, 03/24/2027, 3.375%, $340,000.00330,432 
Gulfstream Natural Gas System LLCFIXED, 09/15/2025, 4.6%, $220,000.00218,919 
Gulfstream Natural Gas System LLCFIXED, 11/01/2025, 6.19%, $100,000.00101,604 
Haleon UK Capital PLCFIXED, 03/24/2025, 3.125%, $250,000.00246,276 
Halliburton CoFIXED, 03/01/2030, 2.92%, $440,000.00400,612 
Health Care Service Corp A Mutual Legal Reserve CoFIXED, 06/01/2025, 1.5%, $380,000.00361,207 
Health Care Service Corp A Mutual Legal Reserve CoFIXED, 06/01/2025, 1.5%, $525,000.00499,036 
Healthpeak OP LLCFIXED, 06/01/2025, 4%, $290,000.00285,380 
Healthpeak OP LLCFIXED, 07/15/2026, 3.25%, $220,000.00214,539 
Healthpeak OP LLCFIXED, 12/01/2028, 2.125%, $90,000.0079,245 
Hewlett Packard Enterprise CoFIXED, 10/01/2024, 5.9%, $350,000.00356,095 
Hewlett Packard Enterprise CoFIXED, 10/15/2025, 4.9%, $350,000.00352,015 
Hexcel CorpFIXED, 02/15/2027, 4.2%, $330,000.00323,203 
Honda Auto Receivables 2022-2 Owner TrustFIXED, 07/20/2026, 3.73%, $670,000.00660,582 
Honda Auto Receivables 2022-2 Owner TrustFIXED, 12/18/2028, 3.76%, $170,000.00166,485 
Honda Auto Receivables 2023-3 Owner TrustFIXED, 02/18/2028, 5.41%, $430,000.00436,525 
41


Honda Auto Receivables 2023-4 Owner TrustFIXED, 02/21/2030, 5.66%, $75,000.0077,216 
Honda Auto Receivables 2023-4 Owner TrustFIXED, 06/21/2028, 5.67%, $675,000.00690,370 
HP IncFIXED, 01/15/2028, 4.75%, $100,000.00102,362 
HP IncFIXED, 01/15/2028, 4.75%, $70,000.0071,653 
HP IncFIXED, 04/15/2029, 4%, $220,000.00215,531 
HPEFS Equipment TrustFIXED, 05/21/2029, 1.38%, $308,866.43305,517 
HSBC Holdings PLCVARIABLE, 03/10/2026, 2.999%, $200,000.00195,789 
HSBC Holdings PLCVARIABLE, 03/13/2028, 4.041%, $540,000.00527,126 
HSBC Holdings PLCVARIABLE, 05/24/2025, 0.976%, $200,000.00196,137 
HSBC Holdings PLCVARIABLE, 05/24/2027, 1.589%, $200,000.00183,841 
HSBC Holdings PLCVARIABLE, 06/09/2028, 4.755%, $200,000.00197,783 
HSBC Holdings PLCVARIABLE, 06/19/2029, 4.583%, $200,000.00194,422 
HSBC Holdings PLCVARIABLE, 09/12/2026, 4.292%, $340,000.00337,295 
HSBC Holdings PLCVARIABLE, 11/07/2025, 2.633%, $520,000.00509,098 
HSBC Holdings PLCVARIABLE, 12/09/2025, 4.18%, $200,000.00197,819 
Huntington Bancshares Inc/OHFIXED, 08/06/2024, 2.625%, $80,000.0079,346 
Huntington Bancshares Inc/OHVARIABLE, 08/04/2028, 4.443%, $160,000.00158,111 
Huntington Bancshares Inc/OHVARIABLE, 08/04/2028, 4.443%, $90,000.0088,937 
Huntington National Bank/TheFIXED, 01/10/2030, 5.65%, $250,000.00259,061 
Huntington National Bank/TheVARIABLE, 05/17/2028, 4.552%, $250,000.00243,034 
Hyundai Auto Lease Securitization Trust 2023-BFIXED, 06/15/2026, 5.15%, $515,000.00516,398 
Hyundai Auto Lease Securitization Trust 2023-CFIXED, 12/15/2026, 5.8%, $540,000.00548,011 
Hyundai Auto Receivables Trust 2023-AFIXED, 04/15/2027, 4.58%, $455,000.00453,398 
Hyundai Auto Receivables Trust 2023-BFIXED, 04/17/2028, 5.48%, $415,000.00423,115 
Hyundai Auto Receivables Trust 2023-CFIXED, 10/16/2028, 5.54%, $1,055,000.001,079,816 
Ingredion IncFIXED, 06/01/2030, 2.9%, $180,000.00161,361 
Ingredion IncFIXED, 10/01/2026, 3.2%, $140,000.00135,096 
International Business Machines CorpFIXED, 02/09/2027, 2.2%, $320,000.00300,860 
Interstate Power and Light CoFIXED, 08/15/2025, 3.4%, $200,000.00197,263 
Interstate Power and Light CoFIXED, 12/01/2024, 3.25%, $230,000.00225,838 
INTOWN 2022-STAY Mortgage TrustFLOATING, 08/15/2039, 7.8506%, $245,000.00246,676 
John Deere Owner Trust 2021-BFIXED, 03/16/2026, 0.52%, $219,350.06213,460 
John Deere Owner Trust 2023FIXED, 11/15/2027, 5.01%, $795,000.00798,397 
42


JPMBB Commercial Mortgage Sec Trust 2014-C26FIXED, 01/15/2048, 3.4943%, $540,000.00527,898 
JPMBB Commercial Mortgage Securities Trust 2016-C1FIXED, 03/17/2049, 3.5761%, $766,000.00735,129 
JPMCC Commercial Mortgage Sec CorpFLOATING, 03/15/2039, 6.73844%, $365,000.00361,120 
JPMDB Commercial Mortgage Securities Trust 2016-C4FIXED, 12/15/2049, 2.8822%, $456,025.04428,075 
KeyBank NA/Cleveland OHFIXED, 04/13/2029, 3.9%, $370,000.00325,886 
KeyBank NA/Cleveland OHFIXED, 05/20/2026, 3.4%, $250,000.00235,486 
KeyCorpVARIABLE, 05/23/2025, 3.878%, $200,000.00196,339 
KeyCorpVARIABLE, 06/01/2033, 4.789%, $170,000.00157,050 
Kimco Realty OP LLCFIXED, 03/01/2024, 2.7%, $310,000.00311,069 
Kimco Realty OP LLCFIXED, 04/01/2027, 3.8%, $180,000.00174,581 
Kinder Morgan IncFIXED, 11/15/2026, 1.75%, $410,000.00378,321 
Kubota Credit Owner Trust 2021-1FIXED, 08/15/2025, 0.62%, $283,485.80277,812 
L3Harris Technologies IncFIXED, 01/15/2027, 5.4%, $220,000.00229,665 
Lennox International IncFIXED, 08/01/2025, 1.35%, $200,000.00189,314 
Life 2022-BMR Mortgage TrustFLOATING, 05/15/2039, 6.65705%, $555,000.00544,257 
Life 2022-BMR Mortgage TrustFLOATING, 05/15/2039, 6.65705%, $780,000.00764,902 
Lowe's Cos IncFIXED, 04/01/2027, 3.35%, $110,000.00106,946 
Magellan Midstream Partners LPFIXED, 03/01/2026, 5%, $120,000.00121,743 
Magellan Midstream Partners LPFIXED, 03/01/2026, 5%, $450,000.00456,535 
Manufacturers & Traders Trust CoFIXED, 01/27/2026, 4.65%, $400,000.00399,670 
Manufacturers & Traders Trust CoFIXED, 01/27/2028, 4.7%, $570,000.00565,704 
Manufacturers & Traders Trust CoFIXED, 11/21/2025, 5.4%, $250,000.00249,868 
Marathon Petroleum CorpFIXED, 05/01/2025, 4.7%, $120,000.00120,146 
Marathon Petroleum CorpFIXED, 05/01/2025, 4.7%, $460,000.00460,560 
Martin Marietta Materials IncFIXED, 03/15/2030, 2.5%, $190,000.00168,902 
Masco CorpFIXED, 11/15/2027, 3.5%, $110,000.00105,139 
Masco CorpFIXED, 11/15/2027, 3.5%, $160,000.00152,930 
Mercedes-Benz Auto Lease Trust 2023-AFIXED, 01/15/2027, 4.74%, $455,000.00454,069 
Mercedes-Benz Auto Receivables Trust 2022-1FIXED, 08/16/2027, 5.21%, $270,000.00271,009 
Mercedes-Benz Auto Receivables Trust 2023-1FIXED, 11/15/2027, 4.51%, $800,000.00796,554 
Mercedes-Benz Auto Receivables Trust 2023-2FIXED, 11/15/2028, 5.95%, $965,000.00995,117 
Metropolitan Edison CoFIXED, 04/01/2028, 5.2%, $160,000.00163,376 
Michigan Finance Authority Student ABS 2021-1FLOATING, 07/25/2061, %, $167,494.88166,015 
43


Mid-America Apartments LPFIXED, 02/15/2031, 1.7%, $110,000.0090,048 
Mid-America Apartments LPFIXED, 06/01/2027, 3.6%, $250,000.00242,573 
Mid-America Apartments LPFIXED, 09/15/2026, 1.1%, $220,000.00200,325 
Missouri Higher Education Loan AuthorityFLOATING, 08/25/2061, 6.04%, $288,121.21277,494 
Mitsubishi UFJ Financial Group IncFIXED, 07/17/2025, 1.412%, $200,000.00190,052 
Mitsubishi UFJ Financial Group IncVARIABLE, 01/19/2028, 2.341%, $330,000.00309,040 
Mitsubishi UFJ Financial Group IncVARIABLE, 07/18/2025, 4.788%, $400,000.00406,796 
Mitsubishi UFJ Financial Group IncVARIABLE, 07/19/2025, 0.953%, $340,000.00332,766 
Mitsubishi UFJ Financial Group IncVARIABLE, 07/20/2027, 1.538%, $700,000.00644,726 
Mitsubishi UFJ Financial Group IncVARIABLE, 07/20/2028, 5.017%, $200,000.00204,788 
Mitsubishi UFJ Financial Group IncVARIABLE, 10/13/2027, 1.64%, $200,000.00182,878 
MMAF Equipment Finance LLC 2019-BFIXED, 12/12/2024, 2.01%, $70,435.0070,187 
MMAF Equipment Finance LLC 2021-AFIXED, 06/13/2028, 0.56%, $443,301.55424,880 
MMAF Equipment Finance LLC 2021-AFIXED, 11/13/2030, 1.04%, $530,000.00489,232 
MMAF Equipment Finance LLC 2022-AFIXED, 01/13/2028, 3.2%, $505,000.00491,396 
MMAF Equipment Finance LLC 2022-AFIXED, 06/13/2044, 3.32%, $580,000.00554,949 
Mondelez International Holdings Netherlands BVFIXED, 09/24/2026, 1.25%, $260,000.00237,586 
Morgan Stanley BAML Trust 2014 C19FIXED, 12/15/2047, 3.526%, $730,000.00714,637 
Morgan Stanley BAML Trust 2015-C20FIXED, 02/15/2048, 3.249%, $250,000.00243,722 
Morgan Stanley BAML Trust 2015-C25FIXED, 10/15/2048, 3.635%, $455,000.00440,658 
Morgan Stanley BAML Trust 2016-C28FIXED, 01/15/2049, 3.272%, $121,942.26116,885 
Morgan Stanley BAML Trust 2016-C29FIXED, 05/15/2049, 3.058%, $440,341.99422,363 
Morgan Stanley BAML Trust 2016-C31FIXED, 11/15/2049, 2.84%, $491,686.43464,309 
Morgan Stanley BAML Trust 2016-C32FIXED, 12/15/2049, 3.72%, $310,000.00295,463 
Morgan Stanley Capital I Trust 2018-H3FIXED, 07/15/2051, 4.177%, $495,000.00470,828 
MPLX LPFIXED, 02/15/2025, 4%, $240,000.00239,959 
MPLX LPFIXED, 03/01/2026, 1.75%, $180,000.00169,504 
MPLX LPFIXED, 03/01/2026, 1.75%, $280,000.00263,672 
MPLX LPFIXED, 03/01/2027, 4.125%, $210,000.00208,539 
MPLX LPFIXED, 03/15/2028, 4%, $120,000.00117,216 
MPLX LPFIXED, 09/01/2032, 4.95%, $100,000.0099,675 
Navient Private Education Refi Loan Trust 2021-EFIXED, 12/16/2069, 0.97%, $404,499.49348,946 
Navient Private Education Refi Loan Trust 2021-GFIXED, 04/15/2070, 1.58%, $879,206.14763,367 
44


Navient Private Education Refi Loan Trust 2022-AFIXED, 07/15/2070, 2.23%, $255,981.28226,060 
Navient Student Loan Trust 2021-1FLOATING, 12/26/2069, 6.05191%, $468,809.33461,263 
Navient Student Loan Trust 2021-1FLOATING, 12/26/2069, 6.05191%, $676,469.84665,580 
Navistar Fin Dealer Note Master Owner Trust IIFIXED, 08/25/2028, 6.18%, $160,000.00161,729 
Nelnet Student Loan Trust 2021-AFIXED, 04/20/2062, 1.36%, $433,291.51392,572 
Nelnet Student Loan Trust 2021-AFIXED, 04/20/2062, 1.36%, $625,580.64566,790 
Nelnet Student Loan Trust 2021-AFLOATING, 04/20/2062, 6.2724%, $226,008.01224,286 
Nelnet Student Loan Trust 2021-BFLOATING, 04/20/2062, 6.2524%, $404,775.88400,004 
Nelnet Student Loan Trust 2021-CFIXED, 04/20/2062, 1.32%, $169,319.47152,068 
Nelnet Student Loan Trust 2021-CFLOATING, 04/20/2062, 6.2124%, $618,150.43609,235 
Nelnet Student Loan Trust 2021-DFIXED, 04/20/2062, 1.63%, $864,952.47790,329 
Nelnet Student Loan Trust 2021-DFLOATING, 04/20/2062, 6.1624%, $489,651.06482,594 
New York State Electric & Gas CorpFIXED, 08/15/2028, 5.65%, $430,000.00450,933 
NextEra Energy Capital Holdings IncFIXED, 01/15/2027, 1.875%, $205,000.00190,391 
Nissan Auto Lease Trust 2023-BFIXED, 07/15/2026, 5.69%, $340,000.00343,331 
Nissan Auto Receivables 2022-B Owner TrustFIXED, 05/17/2027, 4.46%, $1,055,000.001,049,320 
Nissan Auto Receivables 2023-B Owner TrustFIXED, 10/15/2030, 5.96%, $440,000.00457,632 
NNN REIT IncFIXED, 10/15/2028, 4.3%, $310,000.00303,837 
NNN REIT IncFIXED, 11/15/2025, 4%, $110,000.00108,172 
Norfolk Southern CorpFIXED, 08/01/2030, 5.05%, $350,000.00366,418 
Norfolk Southern CorpFIXED, 11/01/2029, 2.55%, $220,000.00198,769 
North Texas Higher Education Authority IncFLOATING, 09/25/2061, 6.04043%, $547,437.51537,755 
North Texas Higher Education Authority IncFLOATING, 10/25/2061, 6.04%, $677,545.88660,280 
NorthWestern CorpFIXED, 03/26/2024, 1%, $210,000.00207,875 
Nucor CorpFIXED, 05/23/2025, 3.95%, $100,000.0098,825 
Nucor CorpFIXED, 05/23/2027, 4.3%, $160,000.00159,252 
Nucor CorpFIXED, 05/23/2027, 4.3%, $210,000.00209,018 
Nutrien LtdFIXED, 03/27/2028, 4.9%, $160,000.00163,594 
Nutrien LtdFIXED, 04/01/2025, 3%, $60,000.0058,696 
Nutrien LtdFIXED, 05/13/2030, 2.95%, $130,000.00118,055 
Nutrien LtdFIXED, 11/07/2024, 5.9%, $160,000.00161,839 
NXP BV / NXP Funding LLC / NXP USA IncFIXED, 01/15/2033, 5%, $200,000.00205,347 
NXP BV / NXP Funding LLC / NXP USA IncFIXED, 02/15/2032, 2.65%, $150,000.00128,100 
45


NXP BV / NXP Funding LLC / NXP USA IncFIXED, 06/01/2027, 4.4%, $200,000.00198,244 
Oracle CorpFIXED, 04/01/2025, 2.5%, $805,000.00783,327 
Oracle CorpFIXED, 04/01/2027, 2.8%, $960,000.00912,636 
Oracle CorpFIXED, 04/01/2030, 2.95%, $370,000.00336,953 
Oracle CorpFIXED, 07/15/2026, 2.65%, $360,000.00345,903 
Oracle CorpFIXED, 11/09/2029, 6.15%, $70,000.0076,024 
Packaging Corp of AmericaFIXED, 12/15/2027, 3.4%, $180,000.00171,734 
Parker-Hannifin CorpFIXED, 09/15/2029, 4.5%, $180,000.00183,318 
Parker-Hannifin CorpFIXED, 11/21/2024, 3.3%, $130,000.00128,053 
Parker-Hannifin CorpFIXED, 11/21/2024, 3.3%, $385,000.00379,234 
PeaceHealth Obligated GroupFIXED, 11/15/2025, 1.375%, $300,000.00279,245 
Pennsylvania Electric CoFIXED, 03/30/2026, 5.15%, $140,000.00141,646 
PHEAA Student Loan Trust 2014-2FLOATING, 02/25/2043, 6.02191%, $524,683.71515,331 
Phillips 66FIXED, 02/15/2024, 0.9%, $70,000.0069,805 
Phillips 66FIXED, 03/15/2028, 3.9%, $340,000.00334,694 
Phillips 66 CoFIXED, 12/01/2027, 4.95%, $260,000.00263,470 
Pioneer Natural Resources CoFIXED, 03/29/2026, 5.1%, $180,000.00183,719 
PNC Financial Services Group Inc/TheVARIABLE, 01/24/2034, 5.068%, $80,000.0080,186 
PNC Financial Services Group Inc/TheVARIABLE, 01/26/2027, 4.758%, $270,000.00273,516 
PNC Financial Services Group Inc/TheVARIABLE, 06/12/2026, 5.812%, $240,000.00242,217 
PNC Financial Services Group Inc/TheVARIABLE, 10/20/2027, 6.615%, $100,000.00105,083 
PNC Financial Services Group Inc/TheVARIABLE, 10/28/2033, 6.037%, $110,000.00116,294 
PNC Financial Services Group Inc/TheVARIABLE, 12/02/2028, 5.354%, $290,000.00294,949 
Porsche Financial Auto Securitization Trust 2023-2FIXED, 01/22/2029, 5.79%, $795,000.00813,444 
PPG Industries IncFIXED, 03/15/2026, 1.2%, $250,000.00232,041 
PPG Industries IncFIXED, 06/15/2030, 2.55%, $250,000.00217,969 
Prologis LPFIXED, 09/15/2028, 4%, $180,000.00177,825 
Realty Income CorpFIXED, 01/15/2027, 3%, $150,000.00144,512 
Realty Income CorpFIXED, 03/15/2026, 0.75%, $160,000.00146,443 
REALTY INCOME CORPFIXED, 10/15/2026, 4.125%, $170,000.00168,309 
Regions Financial CorpFIXED, 08/12/2028, 1.8%, $390,000.00337,058 
Revvity IncFIXED, 09/15/2024, 0.85%, $250,000.00241,953 
Revvity IncFIXED, 09/15/2028, 1.9%, $380,000.00331,461 
46


Rogers Communications IncFIXED, 03/15/2025, 2.95%, $100,000.0097,903 
Rogers Communications IncFIXED, 03/15/2027, 3.2%, $230,000.00221,833 
Rogers Communications IncFIXED, 03/15/2027, 3.2%, $60,000.0057,869 
Rogers Communications IncFIXED, 12/15/2025, 3.625%, $440,000.00427,927 
Rolls-Royce PLCFIXED, 10/14/2025, 3.625%, $270,000.00261,428 
Roper Technologies IncFIXED, 09/15/2024, 2.35%, $80,000.0078,583 
RTX CorpFIXED, 01/15/2029, 5.75%, $430,000.00453,477 
RTX CorpFIXED, 03/15/2031, 6%, $340,000.00365,706 
RTX CorpFIXED, 07/01/2030, 2.25%, $190,000.00166,462 
RTX CorpFIXED, 11/08/2026, 5.75%, $170,000.00176,051 
Ryder System IncFIXED, 03/01/2027, 2.85%, $240,000.00228,075 
Ryder System IncFIXED, 03/01/2028, 5.65%, $130,000.00136,471 
Sabine Pass Liquefaction LLCFIXED, 03/15/2027, 5%, $170,000.00173,304 
Santander Drive Auto Receivables Trust 2023-2FIXED, 07/15/2027, 5.21%, $425,000.00425,121 
Santander Drive Auto Receivables Trust 2023-5FIXED, 09/15/2028, 6.02%, $360,000.00366,259 
SBNA Auto Lease Trust 2023-AFIXED, 04/20/2027, 6.51%, $855,000.00873,282 
Sealed Air CorpFIXED, 10/15/2026, 1.573%, $210,000.00189,872 
SempraFIXED, 04/01/2025, 3.3%, $200,000.00196,807 
SFS Auto Receivables Securitization Trust 2023-1FIXED, 10/20/2028, 5.47%, $505,000.00511,108 
Sherwin-Williams Co/TheFIXED, 08/15/2029, 2.95%, $570,000.00531,298 
Simon Property Group LPFIXED, 01/15/2026, 3.3%, $140,000.00137,792 
Simon Property Group LPFIXED, 12/01/2027, 3.375%, $200,000.00191,348 
SLM Student Loan Trust 2003-10FLOATING, 12/17/2068, 6.28275%, $748,318.55738,033 
SLM Student Loan Trust 2003-10FLOATING, 12/17/2068, 6.28275%, $751,848.35741,514 
Southern Co Gas Capital CorpFIXED, 11/15/2025, 3.875%, $50,000.0048,974 
Stanley Black & Decker IncFIXED, 03/01/2026, 3.4%, $400,000.00391,340 
Sumitomo Mitsui Financial Group IncFIXED, 01/14/2027, 2.174%, $200,000.00186,776 
Sumitomo Mitsui Financial Group IncFIXED, 09/14/2028, 5.716%, $200,000.00210,706 
Sumitomo Mitsui Financial Group IncFIXED, 09/17/2026, 1.402%, $240,000.00219,631 
Sumitomo Mitsui Financial Group IncFIXED, 09/17/2028, 1.902%, $670,000.00590,594 
Synchrony Card Funding LLCFIXED, 10/15/2029, 5.74%, $560,000.00575,883 
Take-Two Interactive Software IncFIXED, 03/28/2024, 3.3%, $3,000.003,007 
Take-Two Interactive Software IncFIXED, 03/28/2026, 5%, $105,000.00106,866 
47


Take-Two Interactive Software IncFIXED, 04/14/2025, 3.55%, $40,000.0039,454 
Take-Two Interactive Software IncFIXED, 04/14/2027, 3.7%, $150,000.00146,693 
Taubman Centers Commercial Mortgage Trust 2022-DPMFLOATING, 05/15/2037, 7.54781%, $575,000.00573,619 
Taubman Centers Commercial Mortgage Trust 2022-DPMFLOATING, 05/15/2037, 7.54781%, $800,000.00798,079 
Tesla Auto Lease Trust 2023-AFIXED, 06/22/2026, 5.89%, $585,000.00588,474 
Tesla Auto Lease Trust 2023-BFIXED, 09/21/2026, 6.13%, $545,000.00551,510 
Tesla Electric Vehicle Trust 2023-1FIXED, 06/20/2028, 5.38%, $410,000.00414,486 
T-Mobile US Trust 2022-1FIXED, 05/22/2028, 4.91%, $840,000.00839,568 
T-Mobile USA IncFIXED, 02/15/2026, 2.25%, $80,000.0076,483 
T-Mobile USA IncFIXED, 02/15/2031, 2.55%, $260,000.00226,710 
T-Mobile USA IncFIXED, 03/15/2029, 2.4%, $220,000.00199,182 
T-Mobile USA IncFIXED, 04/15/2026, 2.625%, $160,000.00153,063 
Towd Point Mortgage Trust 2017-1VARIABLE, 10/25/2056, 2.75%, $4,678.654,658 
Towd Point Mortgage Trust 2017-1VARIABLE, 10/25/2056, 2.75%, $4,854.104,832 
Towd Point Mortgage Trust 2017-5FLOATING, 02/25/2057, 5.75505%, $8,301.058,392 
Towd Point Mortgage Trust 2017-6VARIABLE, 10/25/2057, 2.75%, $185,297.12177,770 
Towd Point Mortgage Trust 2018-2VARIABLE, 03/25/2058, 3.25%, $150,673.67146,377 
Towd Point Mortgage Trust 2018-2VARIABLE, 03/25/2058, 3.25%, $319,672.52310,557 
Towd Point Mortgage Trust 2018-3VARIABLE, 05/25/2058, 3.75%, $230,442.15223,307 
Towd Point Mortgage Trust 2018-3VARIABLE, 05/25/2058, 3.75%, $233,359.14226,134 
Towd Point Mortgage Trust 2019-4VARIABLE, 10/25/2059, 2.9%, $723,256.94681,254 
Towd Point Mortgage Trust 2021-1VARIABLE, 11/25/2061, 2.25%, $477,625.95438,623 
Towd Point Mortgage Trust 2022-1VARIABLE, 07/25/2062, 3.75%, $777,710.72728,929 
Towd Point Mortgage Trust 2022-4FIXED, 09/25/2062, 3.75%, $702,528.48659,881 
Toyota Auto Loan Extended Note Trust 2020-1FIXED, 05/25/2033, 1.35%, $1,060,000.001,006,413 
Toyota Auto Loan Extended Note Trust 2020-1FIXED, 05/25/2033, 1.35%, $440,000.00417,756 
Toyota Auto Loan Extended Note Trust 2021-1FIXED, 02/27/2034, 1.07%, $1,640,000.001,511,625 
Toyota Auto Loan Extended Note Trust 2021-1FIXED, 02/27/2034, 1.07%, $765,000.00705,118 
Toyota Auto Loan Extended Note Trust 2022-1FIXED, 04/25/2035, 3.82%, $1,170,000.001,137,594 
Toyota Auto Loan Extended Note Trust 2023-1FIXED, 06/25/2036, 4.93%, $930,000.00939,824 
Toyota Auto Receivables 2022-C Owner TrustFIXED, 04/15/2027, 3.76%, $430,000.00423,533 
Toyota Auto Receivables 2022-D Owner TrustFIXED, 09/15/2027, 5.3%, $540,000.00544,069 
Toyota Auto Receivables 2023-A Owner TrustFIXED, 09/15/2027, 4.63%, $730,000.00727,157 
48


Toyota Lease Owner Trust 2023-BFIXED, 11/20/2026, 5.66%, $460,000.00467,579 
Trane Technologies Financing LtdFIXED, 03/21/2026, 3.5%, $150,000.00147,299 
Trane Technologies Financing LtdFIXED, 03/21/2026, 3.5%, $770,000.00756,136 
Trans-Allegheny Interstate Line CoFIXED, 06/01/2025, 3.85%, $200,000.00196,512 
Truist Financial CorpVARIABLE, 01/26/2029, 4.873%, $500,000.00503,584 
Truist Financial CorpVARIABLE, 06/06/2028, 4.123%, $180,000.00173,962 
Truist Financial CorpVARIABLE, 10/28/2033, 6.123%, $165,000.00173,318 
UBS Commercial Mortgage Trust 2017-C3FIXED, 08/15/2050, 3.167%, $520,000.00492,177 
UBS Commercial Mortgage Trust 2017-C6FIXED, 12/15/2050, 3.5795%, $545,000.00507,785 
UBS Commercial Mortgage Trust 2017-C7FIXED, 12/15/2050, 3.679%, $485,000.00449,982 
UBS Commercial Mortgage Trust 2018-C8FIXED, 02/15/2051, 3.983%, $600,000.00566,507 
UBS Group AGVARIABLE, 01/30/2027, 1.364%, $330,000.00304,575 
UBS Group AGVARIABLE, 02/11/2033, 2.746%, $200,000.00166,485 
UBS Group AGVARIABLE, 05/12/2028, 4.751%, $210,000.00208,306 
UBS Group AGVARIABLE, 08/05/2027, 4.703%, $300,000.00301,566 
UBS Group AGVARIABLE, 08/10/2027, 1.494%, $220,000.00200,153 
UBS Group AGVARIABLE, 08/10/2027, 1.494%, $280,000.00254,741 
UBS Group AGVARIABLE, 09/11/2025, 2.593%, $250,000.00246,567 
UDR IncFIXED, 01/15/2030, 3.2%, $270,000.00249,538 
UDR IncFIXED, 09/01/2026, 2.95%, $45,000.0043,162 
Ventas Realty LPFIXED, 01/15/2025, 2.65%, $110,000.00108,007 
Ventas Realty LPFIXED, 01/15/2029, 4.4%, $150,000.00148,806 
Ventas Realty LPFIXED, 02/01/2025, 3.5%, $110,000.00109,082 
Verizon Communications IncFIXED, 03/15/2032, 2.355%, $623,000.00523,354 
Verizon Communications IncFIXED, 03/16/2027, 4.125%, $100,000.0099,804 
Verizon Communications IncFIXED, 03/22/2028, 2.1%, $390,000.00355,365 
Verizon Master TrustFIXED, 01/22/2029, 3.67%, $605,000.00593,888 
Verizon Master TrustFIXED, 06/20/2029, 5.16%, $220,000.00223,036 
Verizon Master TrustFIXED, 07/20/2028, 1.53%, $345,000.00332,484 
Verizon Master TrustFIXED, 11/20/2029, 5.67%, $490,000.00504,402 
Vermont Std Asst CorpFLOATING, 04/30/2035, 6.18479%, $299,785.03299,155 
Vermont Std Asst CorpFLOATING, 04/30/2035, 6.18479%, $85,652.8785,473 
Volkswagen Auto Lease Trust 2023-AFIXED, 10/20/2026, 5.81%, $610,000.00618,665 
49


Volkswagen Auto Loan Enhanced Trust 2023-2FIXED, 12/20/2028, 5.48%, $845,000.00864,104 
Volkswagen Group of America Finance LLCFIXED, 06/06/2025, 3.95%, $210,000.00206,265 
Volkswagen Group of America Finance LLCFIXED, 06/08/2027, 4.35%, $200,000.00196,657 
Volkswagen Group of America Finance LLCFIXED, 09/12/2026, 5.7%, $240,000.00247,643 
Volkswagen Group of America Finance LLCFIXED, 09/12/2028, 5.65%, $450,000.00469,853 
Volkswagen Group of America Finance LLCFIXED, 09/26/2024, 2.85%, $200,000.00197,524 
Vulcan Materials CoFIXED, 04/01/2027, 3.9%, $120,000.00117,522 
Warnermedia Holdings IncFIXED, 03/15/2025, 3.638%, $150,000.00148,383 
Warnermedia Holdings IncFIXED, 03/15/2027, 3.755%, $170,000.00164,901 
Warnermedia Holdings IncFIXED, 03/15/2027, 3.755%, $310,000.00300,701 
Warnermedia Holdings IncFIXED, 03/15/2029, 4.054%, $260,000.00249,895 
Warnermedia Holdings IncFIXED, 03/15/2032, 4.279%, $220,000.00204,384 
WEC Energy Group IncFIXED, 01/09/2026, 4.75%, $170,000.00173,244 
WEC Energy Group IncFIXED, 06/15/2025, 3.55%, $34,000.0033,135 
WEC Energy Group IncFIXED, 09/12/2026, 5.6%, $120,000.00124,201 
WEC Energy Group IncFIXED, 12/15/2028, 2.2%, $555,000.00493,553 
Wells Fargo Commercial Mortgage Trust 2015-C28FIXED, 05/15/2048, 3.54%, $500,000.00484,881 
Wells Fargo Commercial Mortgage Trust 2016-C35FIXED, 07/15/2048, 2.674%, $778,127.73739,543 
Wells Fargo Commercial Mortgage Trust 2016-LC24FIXED, 10/15/2049, 2.684%, $694,031.40655,753 
Wells Fargo Commercial Mortgage Trust 2016-NXS6FIXED, 11/15/2049, 2.642%, $470,000.00444,084 
Wells Fargo Commercial Mortgage Trust 2017-C38FIXED, 07/15/2050, 3.19%, $367,492.57345,385 
Wells Fargo Commercial Mortgage Trust 2017-C39FIXED, 09/15/2050, 3.157%, $305,000.00286,948 
Wells Fargo Commercial Mortgage Trust 2017-C39FIXED, 09/15/2050, 3.157%, $635,000.00597,417 
Wells Fargo Commercial Mortgage Trust 2017-C39FIXED, 09/15/2050, 3.418%, $515,000.00483,551 
Wells Fargo Commercial Mortgage Trust 2017-C40FIXED, 10/15/2050, 3.317%, $760,000.00718,902 
Wells Fargo Commercial Mortgage Trust 2018-C43VARIABLE, 03/15/2051, 4.012%, $1,020,000.00975,978 
Welltower OP LLCFIXED, 01/15/2029, 2.05%, $150,000.00133,434 
Welltower OP LLCFIXED, 01/15/2032, 2.75%, $120,000.00103,830 
Welltower OP LLCFIXED, 03/15/2029, 4.125%, $360,000.00352,217 
Welltower OP LLCFIXED, 06/01/2025, 4%, $80,000.0078,804 
Weyerhaeuser CoFIXED, 05/15/2026, 4.75%, $300,000.00300,491 
WFRBS Commercial Mortgage Trust 2014-C20FIXED, 05/15/2047, 3.995%, $1,260,000.001,248,853 
WFRBS Commercial Mortgage Trust 2014-C24FIXED, 11/15/2047, 3.607%, $520,000.00509,391 
50


WFRBS Commercial Mortgage Trust 2014-C25FIXED, 11/15/2047, 3.365%, $437,507.83430,095 
Wheels Fleet Lease Funding 1 LLCFIXED, 04/18/2038, 5.8%, $500,000.00502,494 
Wheels Fleet Lease Funding 1 LLCFIXED, 04/18/2038, 5.8%, $685,000.00688,417 
Wheels Fleet Lease Funding 1 LLCFIXED, 08/18/2038, 6.46%, $885,000.00897,857 
Williams Cos Inc/TheFIXED, 01/15/2025, 3.9%, $120,000.00120,249 
Williams Cos Inc/TheFIXED, 03/02/2026, 5.4%, $320,000.00329,063 
Williams Cos Inc/TheFIXED, 03/15/2033, 5.65%, $170,000.00180,762 
Williams Cos Inc/TheFIXED, 06/24/2024, 4.55%, $260,000.00258,788 
Williams Cos Inc/TheFIXED, 08/15/2028, 5.3%, $450,000.00470,248 
WMRK Commercial Mortgage Trust 2022-WMRKFLOATING, 11/15/2027, 8.15081%, $355,000.00356,363 
World Omni Auto Lease Sec Trust 2023-AFIXED, 09/15/2026, 5.07%, $430,000.00430,901 
World Omni Auto Receivables Trust 2022-AFIXED, 05/17/2027, 1.66%, $532,410.63517,332 
World Omni Auto Receivables Trust 2022-CFIXED, 10/15/2027, 3.66%, $460,000.00452,497 
World Omni Auto Receivables Trust 2023-AFIXED, 05/15/2028, 4.83%, $660,000.00660,217 
World Omni Auto Receivables Trust 2023-DFIXED, 02/15/2029, 5.79%, $605,000.00622,587 
WRKCo IncFIXED, 09/15/2024, 3%, $290,000.00287,021 
Xcel Energy IncFIXED, 03/15/2027, 1.75%, $245,000.00224,829 
TOTAL CORPORATE DEBT INSTRUMENTS - ALL OTHER$205,460,120 
Net Assets Pending Settlement$(590,930)
SUBTOTAL STABLE VALUE FUND$508,230,590 
TOTAL - INVESTMENT CONTRACTS$508,230,590 
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE$33,450,611 
TOTAL - INVESTMENT CONTRACTS AT CONTRACT VALUE$541,681,201 
51


AEP RETIREMENT SAVINGS 401(K) PLAN
PLAN #002 EIN #13-4922641
SCHEDULE H, LINE 4I - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (continued)
DECEMBER 31, 2023
(a)(b) Identity of Issuer, Borrower, Lessor or Similar Party  (c ) Description of Investment Including Maturity Date, Rate of Interest, Collateral, Par, or Maturity Value(e) Current Value
MONEY MARKET FUND
JP MORGAN US GOVT MM FUND 3164$47,714,108 
TOTAL MONEY MARKET FUND$47,714,108 
COMMON / COLLECTIVE TRUSTS
COLUMBIA TRUST FOCUSED LARGE CAP GROWTH FUND
$195,092,837 
*
MELLON CAPITAL MID CAP STOCK INDEX FUND
456,261,518 
*
MELLON CAPITAL SMALL CAP STOCK INDEX FUND
179,341,271 
*
MELLON CAPITAL STOCK INDEX FUND
1,298,414,738 
*
MELLON CAPITAL AGGREGATE BOND INDEX FUND
521,308,895 
*
MELLON CAPITAL TREASURY INFLATION-PROTECTED SECURITIES FUND
24,749,151 
*
MELLON CAPITAL INTERNATIONAL STOCK INDEX FUND
704,972,081 
*
MELLON CAPITAL EMERGING MARKETS STOCK INDEX FUND
60,252,437 
JPMORGAN STRATEGIC PROPERTY FUND
68,468,634 
METWEST TOTAL RETURN BOND FUND
65,185,142 
SANDS CAPITAL INTERNATIONAL GROWTH CIT
25,623,845 
TOTAL COMMON / COLLECTIVE TRUSTS$3,599,670,549 
AEP STOCK
*AMERICAN ELECTRIC POWER CO INC$272,036,887 
TOTAL AEP STOCK$272,036,887 
CORPORATE STOCKS
3M CO $224,215 
8X8 INC 436,715 
ABBVIE INC 557,737 
ABM INDUSTRIES INC 158,609
ACI WORLDWIDE INC 110,711 
ACUITY BRANDS INC 2,311,916 
ACV AUCTIONS INC 1,323,519 
ADOBE INC 4,736,407
ADTALEM GLOBAL EDUCATION INC 587,437 
ADVANCED MICRO DEVICES INC 7,420,177 
AERCAP HOLDINGS NV 226,602 
AES CORP/THE 139,062 
AGCO CORP 476,049 
AGIOS PHARMACEUTICALS INC 409,991 
AIR LEASE CORP 190,827 
AIRBNB INC 1,819,783 
ALASKA AIR GROUP INC 183,473 
ALIGHT INC 2,800,834 
ALIGN TECHNOLOGY INC 413,740 
ALLIANT ENERGY CORP 533,264 
ALLISON TRANSMISSION HOLDINGS 833,057 
52


ALLY FINANCIAL INC 1,289,281 
ALPHABET INC 12,000,761 
AMAZON.COM INC 14,800,930 
AMCOR PLC 129,571 
AMDOCS LTD 1,381,367 
AMEDISYS INC 134,890 
AMERICAN TOWER CORP 2,340,787 
AMERIPRISE FINANCIAL INC 717,879 
AMERIS BANCORP 187,797 
AMGEN INC 569,992 
AMICUS THERAPEUTICS INC 119,324 
AMKOR TECHNOLOGY INC 218,950 
AMN HEALTHCARE SERVICES INC 441,792 
ANALOG DEVICES INC 1,605,358 
ANI PHARMACEUTICALS INC 141,489 
APA CORP 500,670 
APPLE INC 10,721,803 
APPLIED INDUSTRIAL TECHNOLOGIE 643,961 
APPLIED MATERIALS INC 3,052,264 
APPLOVIN CORP 207,180 
ARCH CAPITAL GROUP LTD 411,159 
ARCH RESOURCES INC 252,229 
ARCHER-DANIELS-MIDLAND CO 122,991 
ARISTA NETWORKS INC 1,354,418 
ARM HOLDINGS PLC ADR960,729 
ARRAY TECHNOLOGIES INC 182,750 
ARROW ELECTRONICS INC 213,204 
ARVINAS INC 542,571 
ASHLAND INC 241,295 
ASML HOLDING NV 1,774,220 
ASPEN TECHNOLOGY INC 2,783,577 
ASSURANT INC 656,100 
ASSURED GUARANTY LTD 349,905 
ASTRAZENECA PLC ADR2,241,408 
ATKORE INC 1,103,840 
AUTOLIV INC 217,184 
AUTONATION INC 912,344 
AUTOZONE INC 788,611 
AVALONBAY COMMUNITIES INC 285,136 
AVANTOR INC 740,537 
AVIENT CORP 184,696 
AVNET INC 237,737 
AXCELIS TECHNOLOGIES INC 940,771 
AXIS CAPITAL HOLDINGS LTD 1,239,236 
AXOGEN INC 224,639 
BAKER HUGHES CO 1,654,620 
BANK OZK 736,487 
BATH & BODY WORKS INC 2,083,549 
BEACON ROOFING SUPPLY INC 765,950 
BELDEN INC 313,094 
BELLRING BRANDS INC 288,181 
BERKSHIRE HATHAWAY INC 2,090,028 
BERKSHIRE HILLS BANCORP INC 89,611 
BERRY GLOBAL GROUP INC 130,265 
BGC GROUP INC 256,137 
53


BILL HOLDINGS INC 1,905,045 
BIOGEN INC 592,583 
BIO-TECHNE CORP 3,717,106 
BJ'S WHOLESALE CLUB HOLDINGS I 396,094 
BLOOMIN' BRANDS INC 426,585 
BLUE OWL CAPITAL INC 154,290 
BOEING CO/THE 4,407,500 
BOISE CASCADE CO 234,400 
BOOZ ALLEN HAMILTON HOLDING CO 1,322,845 
BORGWARNER INC 226,249 
BOWLERO CORP 387,432 
BOYD GAMING CORP 344,605 
BP PLC ADR318,246 
BRADY CORP 224,254 
BRINKER INTERNATIONAL INC 166,329 
BRINK'S CO/THE 685,746 
BROADCOM INC 2,053,900 
BROWN & BROWN INC 586,089 
BUCKLE INC/THE 172,688 
BUILDERS FIRSTSOURCE INC 352,577 
CABOT CORP 162,742 
CACTUS INC 136,245 
CADENCE BANK 423,078 
CADENCE DESIGN SYSTEMS INC 3,584,662 
CALERES INC 152,851 
CAL-MAINE FOODS INC 207,121 
CANNAE HOLDINGS INC 289,763 
CAPITAL BANCORP INC 105,778 
CAPITAL ONE FINANCIAL CORP 2,832,192 
CARDINAL HEALTH INC 1,938,182 
CARGURUS INC 1,816,639 
CARLISLE COS INC 792,947 
CARMAX INC 469,419 
CARS.COM INC 175,510 
CASEY'S GENERAL STORES INC 843,452 
CATALYST PHARMACEUTICALS INC 182,456 
CATHAY GENERAL BANCORP 190,804 
CBOE GLOBAL MARKETS INC 316,408 
CENCORA INC 536,042 
CENTENE CORP 2,592,081 
CERTARA INC 626,151 
CHAMPIONX CORP 153,937 
CHARLES RIVER LABORATORIES INT 1,982,687 
CHECK POINT SOFTWARE TECHNOLOG 453,481 
CHEMED CORP 132,154 
CHESAPEAKE ENERGY CORP 297,219 
CHESAPEAKE UTILITIES CORP 186,859 
CHIPOTLE MEXICAN GRILL INC 1,301,280 
CHURCHILL DOWNS INC 1,658,155 
CIENA CORP 223,430 
CIGNA GROUP/THE 548,592 
CIMPRESS PLC 938,106 
CITIGROUP INC 729,471 
CLEAN HARBORS INC 2,384,505 
CLEARFIELD INC 193,993 
54


CLEARWATER PAPER CORP 177,566 
CLEVELAND-CLIFFS INC 2,109,182 
CMS ENERGY CORP 517,462 
CNX RESOURCES CORP 199,800 
COHERENT CORP 181,955 
COLUMBIA SPORTSWEAR CO 138,956 
COMERICA INC 263,367 
COMMERCIAL METALS CO 134,658 
CONCENTRIX CORP 319,575 
CONSENSUS CLOUD SOLUTIONS INC 437,078 
CONSTELLATION ENERGY CORP 1,336,637 
COOPER COS INC/THE 1,372,980 
COPT DEFENSE PROPERTIES 340,008 
CORECIVIC INC 287,868 
COSTCO WHOLESALE CORP 3,671,365 
COUSINS PROPERTIES INC 125,208 
CROWDSTRIKE HOLDINGS INC 2,529,966 
CUMMINS INC 209,384 
CURTISS-WRIGHT CORP 1,060,703 
CVS HEALTH CORP 562,037 
DAVE & BUSTER'S ENTERTAINMENT 209,369 
DAVITA INC 524,848 
DECKERS OUTDOOR CORP 747,305 
DICK'S SPORTING GOODS INC 833,353 
DILLARD'S INC 837,977 
DIME COMMUNITY BANCSHARES INC 125,709 
DIODES INC 244,056 
DISCOVER FINANCIAL SERVICES 741,840 
DNOW INC 119,607 
DOLBY LABORATORIES INC 50,588 
DOLLAR GENERAL CORP 481,671 
DONNELLEY FINANCIAL SOLUTIONS 171,268 
DOUGLAS DYNAMICS INC 224,262 
DOVER CORP 909,940 
DOXIMITY INC 1,116,833 
DR HORTON INC 844,857 
DR ING HC F PORSCHE AG ADR328,519 
DROPBOX INC 1,599,821 
DT MIDSTREAM INC 330,992 
DUKE ENERGY CORP 206,501 
DUN & BRADSTREET HOLDINGS INC 186,135 
DYNATRACE INC 1,080,510 
EAST WEST BANCORP INC 703,599 
EASTMAN CHEMICAL CO 131,676 
ECOVYST INC 446,753 
EDISON INTERNATIONAL 209,966 
ELASTIC NV 2,126,874 
ELDORADO GOLD CORP 232,526 
ELEMENT SOLUTIONS INC 578,338 
ELEVANCE HEALTH INC 2,402,127 
ELI LILLY & CO 7,094,719 
EMCOR GROUP INC 573,259 
EMERSON ELECTRIC CO 222,496 
ENACT HOLDINGS INC 148,957 
ENCOMPASS HEALTH CORP 756,538 
55


ENERPLUS CORP 143,966 
ENERSYS 600,510 
ENOVIS CORP 154,895 
ENTEGRIS INC 1,985,537 
ENVISTA HOLDINGS CORP 93,064 
EPR PROPERTIES 93,363 
EQT CORP 497,825 
ESAB CORP 220,361 
ESSENT GROUP LTD 312,748 
ESSEX PROPERTY TRUST INC 173,558 
EURONET WORLDWIDE INC 1,979,156 
EVERCORE INC 817,790 
EVEREST GROUP LTD 322,111 
EVERGY INC 200,918 
EXPEDIA GROUP INC 192,318 
EXPRO GROUP HOLDINGS NV 206,515 
EXTRA SPACE STORAGE INC 249,473 
EXTREME NETWORKS INC 203,971 
FEDERAL AGRICULTURAL MORTGAGE 468,871 
FEDEX CORP 1,686,045 
FIDELITY NATIONAL FINANCIAL IN 1,093,104 
FIDELITY NATIONAL INFORMATION 2,343,931 
FIRST ADVANTAGE CORP 241,375 
FIRST CITIZENS BANCSHARES INC/ 126,288 
FIRST INTERSTATE BANCSYSTEM IN 186,345 
FIRST MERCHANTS CORP 181,618 
FIRSTCASH HOLDINGS INC 420,228 
FIRSTENERGY CORP 209,292 
FLEETCOR TECHNOLOGIES INC 1,453,746 
FLEX LTD 3,181,852 
FLOOR & DECOR HOLDINGS INC 290,948 
FMC CORP 1,895,787 
FNB CORP/PA 198,150 
FORTINET INC 1,395,765 
FORTIVE CORP 590,954 
FORTREA HOLDINGS INC 264,612 
FOX FACTORY HOLDING CORP 244,210 
FRANKLIN RESOURCES INC 730,749 
FRONTDOOR INC 277,428 
FTI CONSULTING INC 455,456 
GARTNER INC 1,367,766 
GE HEALTHCARE INC 2,028,877 
GEN DIGITAL INC 365,622 
GENERAC HOLDINGS INC 1,026,036 
GENERAL MILLS INC 512,066 
GENERAL MOTORS CO 2,540,981 
GENPACT LTD 451,820 
GENTEX CORP 210,788 
GENUINE PARTS CO 215,368 
GERMAN AMERICAN BANCORP INC 146,266 
GLOBAL PAYMENTS INC 626,364 
GLOBALFOUNDRIES INC 1,412,768 
GODADDY INC 453,197 
GOLDMAN SACHS GROUP INC/THE 2,371,328 
GRACO INC 2,485,240 
56


GRAND CANYON EDUCATION INC 310,558 
GRANITE CONSTRUCTION INC 278,662 
GRAPHIC PACKAGING HOLDING CO 1,262,598 
GROCERY OUTLET HOLDING CORP 2,635,367 
HAEMONETICS CORP 443,113 
HALLIBURTON CO 303,913 
HALOZYME THERAPEUTICS INC 885,636 
HANCOCK WHITNEY CORP 420,061 
HANOVER INSURANCE GROUP INC/TH 322,613 
HARTFORD FINANCIAL SERVICES GR 678,086 
HCA HEALTHCARE INC 584,398 
HEALTHEQUITY INC 675,067 
HEARTLAND EXPRESS INC 407,964 
HELMERICH & PAYNE INC 274,946 
HENRY SCHEIN INC 1,263,978 
HERITAGE COMMERCE CORP 160,000 
HEXCEL CORP 1,693,669 
HF SINCLAIR CORP 181,436 
HOLOGIC INC 2,449,306 
HOME BANCSHARES INC/AR 100,357 
HOME DEPOT INC/THE 3,477,283 
HOWMET AEROSPACE INC 1,844,897 
HUB GROUP INC 186,179 
HUBSPOT INC 1,055,422 
HUMANA INC 479,785 
HUNTINGTON BANCSHARES INC/OH 256,295 
HUNTINGTON INGALLS INDUSTRIES 2,375,706 
IAC INC 830,956 
ICON PLC 710,506 
INGEVITY CORP 220,942 
INGREDION INC 362,490 
INNOVATIVE INDUSTRIAL PROPERTI 206,983 
INSIGHT ENTERPRISES INC 168,153 
INSTALLED BUILDING PRODUCTS IN 324,688 
INTEGRA LIFESCIENCES HOLDINGS 186,786 
INTERDIGITAL INC 355,794 
INTERNATIONAL GAME TECHNOLOGY 38,100 
INTERNATIONAL PAPER CO 118,897 
INTERPUBLIC GROUP OF COS INC/T 259,325 
INTUIT INC 1,381,941 
INTUITIVE SURGICAL INC 3,380,010 
IPG PHOTONICS CORP 269,830 
IRIDIUM COMMUNICATIONS INC 617,935 
ITT INC 252,720 
JABIL INC 223,460 
JACOBS SOLUTIONS INC 476,885 
JAZZ PHARMACEUTICALS PLC 504,546 
JEFFERIES FINANCIAL GROUP INC 191,948 
JOHN BEAN TECHNOLOGIES CORP 97,859 
JUNIPER NETWORKS INC 163,260 
KEYSIGHT TECHNOLOGIES INC 979,040 
KINDER MORGAN INC 2,162,929 
KIRBY CORP 1,192,425 
KLA CORP 1,427,092 
KNIGHT-SWIFT TRANSPORTATION HO 226,853 
57


KORN FERRY 188,199 
KOSMOS ENERGY LTD 173,460 
KRAFT HEINZ CO/THE 2,033,345 
KROGER CO/THE 561,456 
L3HARRIS TECHNOLOGIES INC 511,807 
LABORATORY CORP OF AMERICA HOL 560,952 
LAM RESEARCH CORP 1,451,381 
LAMAR ADVERTISING CO 555,207 
LAMB WESTON HOLDINGS INC 221,909 
LANDSTAR SYSTEM INC 100,698 
LANTHEUS HOLDINGS INC 261,082 
LATTICE SEMICONDUCTOR CORP 1,131,919 
LAUREATE EDUCATION INC 486,184 
LCI INDUSTRIES 242,369 
LEAR CORP 207,720 
LEGALZOOM.COM INC 297,088 
LEGEND BIOTECH CORP ADR521,554 
LENDINGCLUB CORP 1,762,753 
LENNAR CORP 2,361,390 
LEONARDO DRS INC 292,604 
LESLIE'S INC 104,915 
LITHIA MOTORS INC 585,131 
LITTELFUSE INC 851,911 
LIVANOVA PLC 147,149 
LIVE NATION ENTERTAINMENT INC 144,893 
LKQ CORP 101,219 
L'OREAL SA ADR2,033,531 
LPL FINANCIAL HOLDINGS INC 2,208,142 
LULULEMON ATHLETICA INC 3,609,707 
LVMH MOET HENNESSY LOUIS VUITT ADR1,561,307 
LYONDELLBASELL INDUSTRIES NV 131,020 
MAGNOLIA OIL & GAS CORP 214,475 
MARATHON OIL CORP 301,928 
MARKEL GROUP INC 653,154 
MARKETAXESS HOLDINGS INC 2,987,949 
MARRIOTT INTERNATIONAL INC/MD 2,833,759 
MARRIOTT VACATIONS WORLDWIDE C 224,534 
MASCO CORP 227,598 
MASIMO CORP 2,650,470 
MASONITE INTERNATIONAL CORP 216,730 
MASTERCARD INC 5,261,854 
MATADOR RESOURCES CO 203,673 
MATCH GROUP INC 157,826 
MATSON INC 1,638,410 
MCKESSON CORP 521,778 
MEDICAL PROPERTIES TRUST INC 83,833 
MERCADOLIBRE INC 2,509,749 
MERCK & CO INC 1,945,462 
MERIT MEDICAL SYSTEMS INC 1,448,633 
MERITAGE HOMES CORP 275,236 
META PLATFORMS INC 6,765,591 
METHANEX CORP 140,233 
METLIFE INC 657,332 
MGM RESORTS INTERNATIONAL 184,573 
MICRON TECHNOLOGY INC 2,463,339 
58


MICROSOFT CORP 13,376,118 
MIDDLEBY CORP/THE 718,925 
MODINE MANUFACTURING CO 241,188 
MOLINA HEALTHCARE INC 2,151,601 
MOLSON COORS BEVERAGE CO 667,801 
MONGODB INC 2,123,567 
MOODY'S CORP 2,039,895 
MOOG INC 271,318 
MUELLER INDUSTRIES INC 229,008 
MURPHY OIL CORP 202,806 
MURPHY USA INC 780,866 
N-ABLE INC/US 460,928 
NATIONAL STORAGE AFFILIATES TR 466,538 
NATIONAL VISION HOLDINGS INC 626,142 
NCR ATLEOS CORP 86,035 
NCR VOYIX CORP 119,774 
NETAPP INC 1,577,888 
NETFLIX INC 4,464,203 
NEVRO CORP 545,855 
NEW JERSEY RESOURCES CORP 91,701 
NEW YORK TIMES CO/THE 3,814,312 
NEXSTAR MEDIA GROUP INC 574,175 
NIKE INC 2,428,928 
NISOURCE INC 182,584 
NMI HOLDINGS INC 324,729 
NOBLE CORP PLC 338,372 
NOMAD FOODS LTD 176,687 
NORTHWESTERN ENERGY GROUP INC 319,335 
NOVO NORDISK A/S ADR3,903,996 
NRG ENERGY INC 210,729 
NUCOR CORP 127,919 
NVIDIA CORP 11,808,026 
NXP SEMICONDUCTORS NV 1,886,821 
OCEANFIRST FINANCIAL CORP 118,916 
OGE ENERGY CORP 195,363 
OKTA INC 3,277,639 
OLD NATIONAL BANCORP/IN 286,032 
OMNICELL INC 221,152 
ON SEMICONDUCTOR CORP 982,981 
ONEMAIN HOLDINGS INC 924,812 
ORACLE CORP 1,962,052 
O'REILLY AUTOMOTIVE INC 2,525,313 
ORGANON & CO 1,952,756 
OSHKOSH CORP 223,108 
OSI SYSTEMS INC 204,157 
OVINTIV INC 307,220 
OWENS CORNING 133,852 
OXFORD INDUSTRIES INC 129,900 
PACCAR INC 1,505,958 
PACIFIC BIOSCIENCES OF CALIFOR 2,068,066 
PACKAGING CORP OF AMERICA 127,884 
PALO ALTO NETWORKS INC 577,965 
PAR PACIFIC HOLDINGS INC 308,199 
PARKER-HANNIFIN CORP 217,450 
PATTERSON-UTI ENERGY INC 265,302 
59


PAYCHEX INC 1,244,223 
PEAPACK-GLADSTONE FINANCIAL CO 112,093 
PEDIATRIX MEDICAL GROUP INC 95,344 
PEGASYSTEMS INC 119,023 
PELOTON INTERACTIVE INC 771,390 
PENNYMAC FINANCIAL SERVICES IN 240,632 
PERFORMANCE FOOD GROUP CO 189,678 
PERRIGO CO PLC 72,695 
PFIZER INC 1,221,416 
PHOTRONICS INC 279,036 
PINNACLE FINANCIAL PARTNERS IN 814,809 
PINNACLE WEST CAPITAL CORP 353,525 
POOL CORP 413,462 
PORTLAND GENERAL ELECTRIC CO 461,918 
POST HOLDINGS INC 540,953 
PPL CORP 214,171 
PREFERRED BANK/LOS ANGELES CA 210,822 
PRESTIGE CONSUMER HEALTHCARE I 250,084 
PRIMO WATER CORP 168,680 
PROG HOLDINGS INC 114,707 
PROPETRO HOLDING CORP 121,971 
PROSPERITY BANCSHARES INC 502,150 
PUBLIC SERVICE ENTERPRISE GROU 203,935 
PULTEGROUP INC 853,629 
PVH CORP 3,923,471 
QCR HOLDINGS INC 138,559 
QORVO INC 236,819 
QUANEX BUILDING PRODUCTS CORP 252,111 
QUEST DIAGNOSTICS INC 528,632 
QUIDELORTHO CORP 1,940,226 
RALPH LAUREN CORP 203,178 
RAMACO RESOURCES INC 206,716 
RANGE RESOURCES CORP 479,613 
RB GLOBAL INC 2,275,063 
RBB BANCORP 57,920 
REGIONS FINANCIAL CORP 773,146 
RELAY THERAPEUTICS INC 257,072 
RELIANCE INC 132,848 
REMITLY GLOBAL INC 83,584 
RENAISSANCERE HOLDINGS LTD 264,404 
REPUBLIC SERVICES INC 622,041 
RHYTHM PHARMACEUTICALS INC 135,336 
ROYAL CARIBBEAN CRUISES LTD 843,627 
RYAN SPECIALTY HOLDINGS INC 1,441,600 
RYDER SYSTEM INC 218,269 
SABRA HEALTH CARE REIT INC 218,074 
SALESFORCE INC 4,719,679 
SALLY BEAUTY HOLDINGS INC 509,713 
SANDY SPRING BANCORP INC 98,091 
SANMINA CORP 228,083 
SBA COMMUNICATIONS CORP 802,929 
SCIENCE APPLICATIONS INTERNATI 783,216 
SCOTTS MIRACLE-GRO CO/THE 110,224 
SEALED AIR CORP 545,755 
SELECT WATER SOLUTIONS INC 115,497 
60


SENSATA TECHNOLOGIES HOLDING P 2,185,785 
SERVICENOW INC 3,540,221 
SERVISFIRST BANCSHARES INC 71,561 
SHARKNINJA INC 142,406 
SHELL PLC ADR322,025 
SHOCKWAVE MEDICAL INC 1,284,184 
SIGNET JEWELERS LTD 279,949 
SIMPLY GOOD FOODS CO/THE 172,379 
SITEONE LANDSCAPE SUPPLY INC 2,936,863 
SIX FLAGS ENTERTAINMENT CORP 175,886 
SKECHERS USA INC 1,004,235 
SKYWORKS SOLUTIONS INC 112,308 
SLM CORP 1,082,364 
SM ENERGY CO 560,046 
SMARTSHEET INC 1,048,597 
SNAP-ON INC 207,676 
SNOWFLAKE INC 2,582,025 
SONOCO PRODUCTS CO 131,518 
SOTERA HEALTH CO 747,112 
SOUTHSTATE CORP 899,308 
SPORTRADAR GROUP AG 477,216 
SPRINGWORKS THERAPEUTICS INC 519,578 
SS&C TECHNOLOGIES HOLDINGS INC 151,858 
STAAR SURGICAL CO 1,264,785 
STAG INDUSTRIAL INC 1,273,084 
STATE STREET CORP 715,885 
STEEL DYNAMICS INC 120,698 
STERIS PLC 2,204,436 
STEVEN MADDEN LTD 420,504 
STRIDE INC 135,245 
SUPER MICRO COMPUTER INC 1,297,363 
SYNCHRONY FINANCIAL 761,050 
TANDEM DIABETES CARE INC 754,290 
TD SYNNEX CORP 504,906 
TEGNA INC 403,446 
TELEDYNE TECHNOLOGIES INC 476,638 
TELEFLEX INC 845,761 
TEMPUR SEALY INTERNATIONAL INC 384,008 
TENABLE HOLDINGS INC 1,054,728 
TESLA INC 6,750,953 
TEVA PHARMACEUTICAL INDUSTRIES ADR2,356,882 
TEXTRON INC 344,921 
THOR INDUSTRIES INC 163,067 
TIDEWATER INC 175,155 
TIMKEN CO/THE 222,256 
TJX COS INC/THE 2,218,325 
T-MOBILE US INC 199,290 
TOLL BROTHERS INC 888,722 
TOPGOLF CALLAWAY BRANDS CORP 166,746 
TORO CO/THE 515,274 
TOTALENERGIES SE ADR2,365,038 
TRADE DESK INC/THE 1,840,377 
TRANSDIGM GROUP INC 1,630,699 
TRANSMEDICS GROUP INC 668,379 
TRIMBLE INC 1,953,717 
61


TRINET GROUP INC 602,499 
TTM TECHNOLOGIES INC 81,311 
UBER TECHNOLOGIES INC 3,884,821 
UFP INDUSTRIES INC 132,957 
UGI CORP 228,091 
UNDER ARMOUR INC 628,588 
UNITED RENTALS INC 240,263 
UNITEDHEALTH GROUP INC 3,267,273 
UNIVERSAL HEALTH SERVICES INC 808,389 
UNUM GROUP 657,137 
US FOODS HOLDING CORP 1,031,125 
US SILICA HOLDINGS INC 111,709 
VALMONT INDUSTRIES INC 215,997 
VECTOR GROUP LTD 139,680 
VERACYTE INC 582,634 
VERITEX HOLDINGS INC 105,902 
VERIZON COMMUNICATIONS INC 193,401 
VERTEX PHARMACEUTICALS INC 2,744,473 
VESTIS CORP 242,264 
VF CORP 1,119,465 
VIPER ENERGY INC 1,049,159 
VISA INC 5,717,807 
VISTRA CORP 2,439,818 
VIVID SEATS INC 144,064 
VONTIER CORP 205,054 
VOYA FINANCIAL INC 361,371 
W R BERKLEY CORP 138,682 
WALKER & DUNLOP INC 201,039 
WARNER MUSIC GROUP CORP 2,391,166 
WEATHERFORD INTERNATIONAL PLC 421,452 
WEBSTER FINANCIAL CORP 163,295 
WELLS FARGO & CO 3,657,095 
WESCO INTERNATIONAL INC 694,998 
WESTERN ALLIANCE BANCORP 517,504 
WESTERN UNION CO/THE 500,318 
WESTINGHOUSE AIR BRAKE TECHNOL 1,783,960 
WESTLAKE CORP 129,323 
WEX INC 166,924 
WHITE MOUNTAINS INSURANCE GROU 198,661 
WILLIS TOWERS WATSON PLC 1,894,626 
WINTRUST FINANCIAL CORP 384,263 
WISDOMTREE INC 801,558 
WIX.COM LTD 3,062,214 
WORLD KINECT CORP 150,189 
WORTHINGTON ENTERPRISES INC 160,622 
WORTHINGTON STEEL INC 69,519 
WSFS FINANCIAL CORP 117,535 
WYNDHAM HOTELS & RESORTS INC 3,002,027 
YETI HOLDINGS INC 157,152 
ZEBRA TECHNOLOGIES CORP 238,617 
ZIFF DAVIS INC 2,159,352 
ZIMMER BIOMET HOLDINGS INC 583,430 
ZIPRECRUITER INC 948,383 
TOTAL CORPORATE STOCKS$557,042,541 
62


REGISTERED INVESTMENT COMPANIES
DODGE & COX INTL STCK-X $24,523,069 
TOTAL REGISTERED INVESTMENT COMPANIES$24,523,069 
SELF DIRECTED BROKERAGE ACCOUNT
*
RETAIL MUTUAL FUNDS, EXCHANGE TRADED FUNDS, EQUITIES (OTHER THAN AEP STOCK) AND PREFERRED STOCK TRADED ON A NATIONAL SECURITIES EXCHANGE, AND FIXED INCOME SECURITIES (OTHER THAN THOSE ISSUED BY AN AFFILIATE OF THE COMPANY).
$101,663,935 
TOTAL SELF-DIRECTED BROKERAGE ACCOUNT
$101,663,935 
TOTAL ASSETS AT FAIR VALUE$4,602,651,089 
*
PARTICIPANT LOANS (Interest rates ranging from 4.25% to 10.5%, maturing through May 2048)$56,867,969 
TOTAL NET ASSETS$5,201,200,259 
*Party-in-interest to the Plan
Note: (d) Historical Cost is not required as all investments are participant-directed.
63


AEP RETIREMENT SAVINGS 401(K) PLAN
EXHIBIT INDEX
Exhibit NumberDescription
23.1
64