Form 11-K
Table of Contents

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, DC 20549

 

 

FORM 11-K

FOR ANNUAL REPORTS OF EMPLOYEE STOCK PURCHASE, SAVINGS AND SIMILAR

PLANS PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

☒   

ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE

                      SECURITIES EXCHANGE ACT OF 1934

 

 

  For the fiscal year ended December 31, 2017

 

OR              

 

 

TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE

                      SECURITIES EXCHANGE ACT OF 1934

 

 

  For the transition period from                      to                     

Commission file number:    1-15062

 

A. Full title of the plan and the address of the plan, if different from that of the issuer named below:

TIME WARNER SAVINGS PLAN

 

B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:

Time Warner Inc.

One Time Warner Center

New York, New York 10019


Table of Contents

 

 

 

FINANCIAL STATEMENTS AND

SUPPLEMENTAL SCHEDULES

Time Warner Savings Plan

Years Ended December 31, 2017 and 2016

With Report of Independent Registered Public

Accounting Firm


Table of Contents

TIME WARNER SAVINGS PLAN

FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULES

YEARS ENDED DECEMBER 31, 2017 AND 2016

 

     Page  

Report of Independent Registered Public Accounting Firm

     1  

Financial Statements

  

Statement of Net Assets Available for Benefits

     2  

Statement of Changes in Net Assets Available for Benefits

     3  

Notes to Financial Statements

     4  

Supplemental Schedules

  

Schedule G, Part 1 – Schedule of Loans or Fixed Income Obligations in Default or Classified as Uncollectible

     13  

Schedule H, Part IV, Line 4(i) – Schedule of Assets (Held at End of Year)

     14  


Table of Contents

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

To the Plan Participants and the Plan Administrator of Time Warner Savings Plan

Opinion on the Financial Statements

We have audited the accompanying statement of net assets available for benefits of Time Warner Savings Plan (the Plan) as of December 31, 2017 and 2016, and the related statement of changes in net assets available for benefits for the years then ended, and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2017 and 2016, and the changes in its net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.

Basis for Opinion

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

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

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

Supplemental Schedules

The accompanying supplemental schedules of loans or fixed income obligations in default or classified as uncollectible and assets (held at end of year) as of December 31, 2017 have been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The information in the supplemental schedules is the responsibility of the Plan’s management. Our audit procedures included determining whether the information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedules. In forming our opinion on the information, we evaluated whether such information, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the information is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ Ernst & Young LLP

We have served as the Plan’s auditor since at least 1982, but we are unable to determine the specific year.

New York, New York

June 11, 2018


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TIME WARNER SAVINGS PLAN

STATEMENT OF NET ASSETS AVAILABLE FOR BENEFITS

(thousands)

 

                                           
     December 31,
     2017    2016

Investments at fair value:

     

Commingled trust funds

    $ 1,909,766        $ 1,560,846   

Time Warner common stock

     339,175         396,965   

Other common stocks

     1,634,589         1,333,654   

Mutual funds

     363,486         296,673   

U.S. government and agency securities

     237,901         214,123   

Other fixed income securities

     193,105         154,716   

Cash, cash equivalents and other investments

     41,389         56,453   
  

 

 

 

  

 

 

 

Total investments at fair value

     4,719,411         4,013,430   

Investments at contract value:

     

Synthetic investment contracts

     510,294         499,308   
  

 

 

 

  

 

 

 

Total investments

     5,229,705         4,512,738   

Contributions receivable:

     

Employing company

     13,554         11,901   

Participants

     3,737         3,543   

Notes receivable from participants

     61,789         57,753   

Receivables for securities sold

     200,573         87,756   

Other assets

     5,758         5,471   
  

 

 

 

  

 

 

 

Total assets

     5,515,116         4,679,162   
  

 

 

 

  

 

 

 

Payables for securities purchased

     324,124         198,727   

Other liabilities

     6,411         6,711   
  

 

 

 

  

 

 

 

Total liabilities

     330,535         205,438   
  

 

 

 

  

 

 

 

Net assets available for benefits

    $ 5,184,581        $ 4,473,724   
  

 

 

 

  

 

 

 

See accompanying notes.

 

2


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TIME WARNER SAVINGS PLAN

STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS

(thousands)

 

                                           
     Year Ended December 31,
     2017   2016

Net assets available for benefits at beginning of year

    $ 4,473,724      $ 4,104,025  

Changes in net assets:

    

Investment income, net of fees

     47,306       40,886  

Net realized and unrealized appreciation in the fair value of investments

     655,785       382,215  
  

 

 

 

 

 

 

 

Net investment income

     703,091       423,101  

Employing company contributions

     137,285       120,294  

Participant contributions, including rollover contributions

     188,848       171,376  

Participant loan interest income

     3,837       3,423  

Participant withdrawals

     (320,154     (346,279

Administrative expenses

     (2,050     (2,216
  

 

 

 

 

 

 

 

Net change

     710,857       369,699  
  

 

 

 

 

 

 

 

Net assets available for benefits at end of year

    $ 5,184,581      $ 4,473,724  
  

 

 

 

 

 

 

 

See accompanying notes.

 

3


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TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS

December 31, 2017

1. Description of the Plan

The following is an abbreviated description of the Time Warner Savings Plan (the “Plan”). Time Warner Inc. (“Time Warner”) is the Plan sponsor. More complete descriptions of the Plan are provided in the Plan documents, as amended, and the summary plan description/prospectus. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”).

General

The Plan is a defined contribution profit sharing plan with a 401(k) feature generally covering eligible employees of Time Warner and certain of its subsidiaries and affiliates (each, an “Employing Company” and, collectively, the “Employing Companies”).

The Plan is the only participating plan in the Time Warner Defined Contribution Plans Master Trust (the “Master Trust”) and is a “Qualified Automatic Contribution Arrangement” in accordance with the Internal Revenue Code of 1986, as amended (the “Code”), and thus is exempt from nondiscrimination testing.

The Plan administrator is a committee (the “Administrative Committee”) appointed by Time Warner’s board of directors. Certain administrative functions of the Plan have been delegated to others in accordance with the terms of the Plan.

On October 22, 2016, Time Warner entered into an Agreement and Plan of Merger (the “Merger Agreement”) with AT&T Inc. (“AT&T”). The Merger Agreement provides for the merger of a newly formed wholly owned subsidiary of AT&T with and into Time Warner, with Time Warner continuing as the surviving company in the merger. Immediately thereafter, Time Warner will merge with and into a limited liability company formed by AT&T, which will continue as the surviving entity and a wholly owned subsidiary of AT&T. Upon consummation of the merger, each share of Time Warner common stock will be converted into the right to receive $53.75 in cash and a specified number of shares of AT&T common stock, as set forth in the Merger Agreement. The merger is conditioned on the receipt of certain antitrust and other required regulatory consents. On November 20, 2017, the United States Department of Justice (the “DOJ”) filed a lawsuit in the United States District Court for the District of Columbia (the “Court”) under a federal antitrust statute to enjoin the merger. The trial concluded in early May 2018 and the trial judge is expected to issue his decision on June 12, 2018. Time Warner and AT&T have agreed to extend the termination date of the Merger Agreement to April 22, 2018, and each has agreed to waive, until June 21, 2018, its right to terminate the Merger Agreement based on the merger not being completed by April 22, 2018.

The approval of the Merger Agreement by the Time Warner board of directors on October 22, 2016 constituted a change in control of Time Warner under the terms of the Plan, and, as a result, the Employing Company Contributions (as defined below) of Plan participants who were actively employed on October 22, 2016 became fully vested. The Employing Company Contributions of Plan participants who became employed by an Employing Company after October 22, 2016 are subject to the regular vesting schedule under the Plan.

Investment Funds, Contributions and Vesting

The Plan provides for multiple investment funds made available through the trustee of the Master Trust, Fidelity Management Trust Company (“Fidelity”), pursuant to the Master Trust. The Plan’s investment funds consist of four asset allocation (target risk) funds and 14 core investment funds (ten of which are actively managed and four of which are index funds). The Plan also offers a self-directed brokerage option that is limited to mutual funds. Participant contributions, Matching Contributions (as defined below) and Rollovers (as defined below) may generally be invested in specified increments in the investment funds. Participants may periodically transfer account balances among the investment funds offered under the Plan.

Contributions or investment fund transfers into the Time Warner Inc. Stock Fund, an employee stock ownership plan component of the Plan, are prohibited, but Plan participants who hold Time Warner common stock in the Time Warner Inc. Stock Fund have the option to reinvest cash dividends paid by Time Warner on its common stock in Time Warner common stock through the Time Warner Inc. Stock Fund in lieu of receiving the cash dividends. Upon consummation of the merger with AT&T, each share of Time Warner common stock held in the Time Warner Inc. Stock Fund will be exchanged for the merger consideration described above, and the independent fiduciary for the fund would determine when and how to purchase additional shares of AT&T common stock with the cash portion of the merger consideration.

 

4


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TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS – (Continued)

 

Generally, the Plan provides for voluntary participant contributions on a pre-tax basis at an elected percentage of a participant’s eligible compensation, up to an annual limit established by the Internal Revenue Service (“IRS”). The elective deferral amount for highly compensated employees is 50% for the pre-tax contributions, subject to the limit established by the IRS. After two months of continuous employment (or, with respect to employees classified as hourly or temporary employees, after 1,000 hours of credited service in any one year), matching contributions by Employing Companies (“Matching Contributions”) are made as a percentage of a participant’s contributions to the Plan and are capped at certain percentages of the participant’s eligible compensation deferred.

All newly eligible Plan participants and employees classified as hourly or temporary employees who are credited with at least 1,000 hours of service in any one year are automatically enrolled in the Plan at a pre-tax contribution rate of 3%, unless they change their contribution rate or opt out of the Plan. Unless participants who are automatically enrolled in the Plan elect otherwise, their contribution rate automatically increases by an additional 1% of eligible compensation beginning on the first anniversary of their automatic enrollment date and will continue to increase by an additional 1% of eligible compensation annually until the 6% maximum pre-tax contribution rate for automatic contributions is reached. These participant contributions and Matching Contributions are invested in the Qualified Default Investment Alternative (the Growth Asset Allocation Fund), unless participants elect other investment option(s). Participants who are automatically enrolled in the Plan may change their contribution rate or opt out of the Plan at any time.

Matching Contribution rates for eligible Plan participants are consistent across all participating Employing Companies at a rate of 133 13% on up to the first 3% of eligible compensation deferred and 100% on up to the next 3% of eligible compensation deferred.

Participants are allowed to transfer amounts from certain other tax qualified plans to the Plan (“Rollovers”). Rollovers are included as participant contributions in the Statement of Changes in Net Assets Available for Benefits. Rollovers for 2017 and 2016 were $24.8 million and $21.1 million, respectively.

Matching Contributions and any other amounts contributed by an Employing Company, including those transferred into the Plan, are deemed Employing Company contributions (“Employing Company Contributions”). Each participant’s account is credited with the participant’s contributions, Rollovers, Employing Company Contributions and any earnings or losses thereon, as appropriate. Participant contributions, Rollovers and any earnings thereon are fully vested.

Other than Employing Company Contributions that became fully vested on October 22, 2016 in connection with the change in control described above, Matching Contributions and earnings thereon generally vest 100% upon the completion of two years of service (or for eligible temporary and hourly employees, the completion of periods of service established by the Plan).

Matching Contributions and any earnings thereon also become fully vested upon a participant’s termination of service due to death or disability, attainment of age 65, or upon the termination of the Plan.

Forfeited Accounts

Forfeited Employing Company Contributions and earnings thereon may be used to reduce future Employing Company Contributions to the Plan and/or to pay Plan expenses. See the table below for forfeiture activity for the years ended December 31, 2017 and 2016 (thousands).

 

             December 31, 2017                      December 31, 2016          

Balance at beginning of period

    $ 427        $ 5,348   

Additions to forfeiture balance

     2,970         3,582   

Forfeitures utilized

     (3,337)        (8,503)  
  

 

 

    

 

 

 

Balance at end of period

    $ 60        $ 427   
  

 

 

    

 

 

 

 

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TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS – (Continued)

 

Notes Receivable From Participants

Under the Plan, subject to certain restrictions and penalties, participants may withdraw amounts and/or take loans from their accounts. The maximum number of loans a participant may have outstanding is limited to three at any one time, in the form of either one primary residence loan and two general loans or three general loans; provided, however, that if the primary residence loan was obtained by December 31, 2007, it does not limit the availability of the three general loans. The minimum loan amount is $1,000 and the maximum loan amount is $50,000.

Loans are valued at their outstanding balances, which approximate fair value, and are treated as transfers between the individual investment funds and the participant loan fund. Loan terms may be for up to five years or 15 years if for the purchase of a primary residence. Participants who have transferred accounts to the Plan with existing loans for the purchase of a primary residence may have loan terms of up to 30 years based on the provisions of the plan from which the original loan was obtained. Interest rates charged for loans originated under the Plan within any quarter are set at the prime rate in effect on the first day of such quarter plus 1%. Participants who have transferred accounts to the Plan with existing loans may be subject to different interest rates on those loans, as set in accordance with the provisions of the plan from which the original loan was obtained. Interest rates on outstanding participant loans as of December 31, 2017 and 2016 ranged from 4.25% to 10.50%.

Payment of Benefits

In-service withdrawals are available in certain limited circumstances, as provided under the Plan. Hardship withdrawals are allowed for participants incurring an “immediate and heavy financial need,” as defined by the Plan. Hardship withdrawals are strictly regulated under the Code and the regulations thereunder, and a participant must exhaust all available loan options and available distributions prior to requesting a hardship withdrawal.

Generally, on termination of service, participants are eligible to receive the vested portion of their account in a lump sum. However, subject to certain restrictions, the Plan permits other payment options. In addition, at the option of the participant, the commencement of payments may be deferred, subject to certain limitations. Benefits distributed from all investment funds in the Plan will be paid in cash, except for benefits distributed from the Time Warner Inc. Stock Fund, which also offers shares of Time Warner common stock as a distribution election. Fractional shares are paid in cash.

Plan Termination

Although it has not expressed any intent to do so, Time Warner reserves the right to discontinue Employing Company Contributions or to terminate or modify the Plan at any time. In the event of termination of the Plan, participants will become fully vested in their accounts and the net assets of the Plan will be distributed to participants in accordance with the Plan’s provisions and applicable law.

2. Basis of Presentation and Summary of Significant Accounting Policies

Basis of Presentation

The accompanying financial statements have been prepared on the accrual basis of accounting. Costs and expenses incurred for the purchase, sale or transfer of investments reflected in the accompanying financial statements are considered a cost of the investment or a reduction in the proceeds of a sale, as appropriate. Investment management fees and certain administrative costs are paid by the Plan’s investment funds and are included in Investment income, net of fees in the Statement of Changes in Net Assets Available for Benefits.

Payment of Benefits

Participant withdrawals are recorded when paid.

 

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TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS – (Continued)

 

Administrative Expenses

Certain administrative costs are charged to the Plan as permitted under ERISA, including, for example, fees for auditing, recordkeeping, custodial and trustee services. Other administrative costs, such as compensation of employees responsible for the administration of the Plan, are paid by Time Warner.

Use of Estimates

The preparation of financial statements in conformity with U.S. generally accepted accounting principles requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates.

Investment Valuation and Income Recognition

Investments held by the Plan, other than synthetic investment contracts, are stated at fair value. Fair value is defined as 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 (an exit price). See Note 4 for additional information and disclosures related to fair value measurements.

Synthetic investment contracts are valued at contract value, which represents contributions made under the contract, plus interest at the contract rate, less withdrawals under the contract.

Purchases and sales of securities are recorded on a trade-date basis and trades of securities that have not settled are reported as receivables or payables, respectively, for securities sold or purchased. Interest income is recorded as earned. Dividends are recorded on the ex-dividend date. Net appreciation or depreciation in the fair value of investments includes the Plan’s gains and losses on investments bought and sold as well as held during the year.

3. Investments

Plan investments are made in a variety of investment securities that are exposed to various risks such as interest rate, market and credit risks. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of these investments, it is possible that changes in values could materially affect participants’ account balances and the amounts reported in the Statement of Net Assets Available for Benefits.

The Capital Preservation Fund, an investment fund available in the Plan, includes fully benefit-responsive synthetic investment contracts that are valued at contract value in the Statement of Net Assets Available for Benefits. In a synthetic investment contract, debt securities (such as fixed-income, asset-backed and mortgage-backed securities) are purchased and then a financial institution agrees to provide for liquidity and an adjustable rate of return thereon (a “Wrapper”), which, when taken together with the underlying securities, generally results in a guaranteed return of principal and accrued interest. As required for the IRS Form 5500 filing, these investments are valued at fair value in the Schedule of Assets (Held at End of Year). See Note 7 for a reconciliation of the financial statements to the Form 5500.

The Capital Preservation Fund and the Wrapper contracts purchased by that fund are designed to pay all participant-initiated transactions at contract value. However, the Wrapper contracts limit the ability of the fund to transact at contract value upon the occurrence of certain events. These events include, but are not limited to:

 

   

complete or partial termination of the Plan;

   

any change in law, regulation or administrative ruling applicable to the Plan that could have a material adverse effect on the fund’s cash flow;

   

merger or consolidation of the Plan with another plan, the transfer of Plan assets to another plan, or the sale, spin-off or merger of a subsidiary or division of the Plan sponsor; and

   

any early retirement program, group termination, group layoff, facility closing or similar program.

At this time, the occurrence of an event that would limit the ability of the Capital Preservation Fund to transact at contract value is not probable.

 

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TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS – (Continued)

 

A Wrapper issuer may terminate a Wrapper contract at any time by providing the appropriate notification. In the event that the market value of the Capital Preservation Fund’s covered assets is below their contract value at the time of such termination, Fidelity, as the Capital Preservation Fund’s investment manager, may elect to keep the Wrapper contract in place through another Wrapper provider until such time as the market value of the Capital Preservation Fund’s covered assets is equal to their contract value. Plan participants will continue to receive the Capital Preservation Fund’s Crediting Rate (as defined below).

Interest income in the Capital Preservation Fund is accrued at the weighted-average return of individual fund investments, net of investment management and certain administrative fees (the “Crediting Rate”). The Crediting Rate is calculated daily. Wrapper contracts use the Crediting Rate formula to convert market value changes in the underlying assets into income distributions in order to minimize the difference between the market and contract value of the underlying assets over time. Using the Crediting Rate formula, an estimated future market value is calculated by compounding a portfolio’s current market value at such portfolio’s current yield to maturity for a period equal to such portfolio’s duration. The Crediting Rate is the discount rate that equates that estimated future market value with such portfolio’s current contract value. Crediting Rates are reset monthly. The Wrapper contracts are designed so that the Crediting Rate will not fall below 0%.

Certain investment managers of investment funds offered under the Plan are authorized to use derivative financial instruments, either directly or within a commingled fund structure, in accordance with established guidelines of the investment funds. Derivative financial instruments may be used for the purpose of managing interest rate and foreign exchange risk, and for yield enhancement. Changes in the fair value of derivative financial instruments are recorded in the Statement of Changes in Net Assets Available for Benefits; therefore, no gains or losses are deferred. At December 31, 2017 and 2016, the fair value of derivative financial instruments held by the Plan was not material. The derivative financial instruments held by the Plan at December 31, 2017 and 2016 consisted of interest rate and credit default swap contracts, futures contracts and interest rate option contracts.

4. Fair Value Measurements

A fair value measurement is determined based on the assumptions that a market participant would use in pricing an asset or liability. A three-tiered hierarchy draws distinctions between market participant assumptions based on (i) observable inputs such as quoted prices in active markets (Level 1), (ii) inputs other than quoted prices in active markets that are observable either directly or indirectly (Level 2) and (iii) unobservable inputs that require the Plan to use present value and other valuation techniques in the determination of fair value (Level 3).

 

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TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS – (Continued)

 

The following table presents information about the Plan’s assets and liabilities required to be carried at fair value on a recurring basis as of December 31, 2017 and 2016 (thousands):

 

                                                                                                                                   
     December 31, 2017   December 31, 2016

Asset Category

   Level 1   Level 2   Total   Level 1   Level 2   Total

Assets

            

Equity securities:

            

Time Warner common stock

    $ 339,175      $      $ 339,175      $ 396,965      $      $ 396,965  

Other common stocks

     1,634,589             1,634,589       1,333,654             1,333,654  

Mutual funds(a)

     363,486             363,486       296,673             296,673  

Fixed income securities:

            

U.S. government and agency securities

     108,262       129,639       237,901       95,513       118,610       214,123  

Other fixed income securities

           193,105       193,105             154,716       154,716  

Cash, cash equivalents and other investments:

            

Cash and cash equivalents

     28,545       12,272       40,817       40,976       14,841       55,817  

Derivatives

     133       439       572       105       494       599  

Other investments(b)

                       37             37  
  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Assets

     2,474,190       335,455       2,809,645       2,163,923       288,661       2,452,584  

Liabilities

            

Derivatives

     (11     (275     (286     (144     (760     (904

U.S. government and agency securities

           (2,150     (2,150           (1,126     (1,126
  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total

    $ 2,474,179      $ 333,030      $ 2,807,209      $ 2,163,779      $ 286,775      $ 2,450,554  
  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

(a) 

At December 31, 2017 and 2016, mutual funds consisted of Fidelity Brokerage Link, DFA Emerging Markets Core Equity Portfolio Institutional Class Fund, PIMCO Priv ABS Sector Fund, PIMCO Short Term Floating NAV Portfolio II, and Fidelity Investments Money Market Government Portfolio.

(b) 

At December 31, 2016, other investments consisted of preferred stocks.

Investments that are measured at fair value using the net asset value per share as a practical expedient have not been categorized in the fair value table above and are as follows (thousands):

 

                                           
     December 31,

Asset Category

   2017    2016

Commingled trust funds(a)

    $ 1,909,766       $ 1,560,846  

 

 

(a) 

At December 31, 2017, approximately 24% of the underlying securities held in commingled trust funds consisted of marketable fixed income securities and approximately 76% consisted of equity securities. At December 31, 2016, approximately 25% of the underlying securities held in commingled trust funds consisted of marketable fixed income securities and approximately 75% consisted of equity securities.

There were no assets classified as Level 3 at December 31, 2017 or 2016.

Investments are recorded by the Plan on a trade date basis at fair value or contract value, as applicable. The following is a description of the valuation methodologies used for assets measured at fair value.

Commingled trust funds: Valued at the net asset value per unit at year end as reported to Fidelity by each fund company managing such trusts. Investments in the underlying commingled trust funds can generally be redeemed daily at net asset value.

 

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TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS – (Continued)

 

Equity securities: Valued at the closing price at year end as reported on the active market on which the individual securities are traded.

Mutual funds: Valued at the closing price of shares held by the Plan at year end.

Fixed income securities: Valued at the closing price at year end as reported on the active market on which the individual securities are traded. Securities not traded on an active market are valued based on yields currently available on comparable securities of issuers with similar credit ratings. When quoted prices are not available for identical or similar securities, the securities are valued using a discounted cash flows approach that maximizes observable inputs, such as current yields of similar instruments, but includes adjustments for certain risks that may not be observable, such as credit and liquidity risks. Due to the subjectivity involved in this assessment, these investments may be classified in Level 3 of the fair value hierarchy. As of December 31, 2017 and 2016, there were no fixed income securities classified as level 3.

Cash equivalents and other investments: Cash equivalents consist of investments in short-term investment funds and money market funds valued at net asset value per unit equal to one dollar at year end. Other investments can consist of certificates of deposit, commercial paper, repurchase agreements, warrants, and futures, option and swap contracts. Certificates of deposit and repurchase agreements are valued at amortized cost, which approximates fair value. Commercial paper is valued using broker quotes that utilize observable market inputs. Warrants are valued based on the relationship of the exercise price to the value of the underlying security. Futures and option contracts are generally valued at closing settlement prices. Swap contracts are marked-to-market as the net amount due to and from the Plan in accordance with the terms of the contract based on the closing level of the relevant market rate of interest.

5. Transactions with Parties-in-Interest

Under the terms of the Plan and the Master Trust, Time Warner may elect to contribute shares of Time Warner common stock and/or cash for Employing Company Contributions to the Plan. There were no shares of Time Warner common stock contributed in 2017 or 2016 as Employing Company Contributions to the Plan. The Plan may also purchase or sell shares of Time Warner common stock directly from or to Time Warner. There were no purchases or sales of Time Warner common stock by the Plan directly from or to Time Warner in 2017 or 2016.

Certain Plan investments are managed by Fidelity. Fidelity has appointed JP Morgan Chase and State Street Bank to act as individual sub-custodians for certain Plan investments. Therefore, Fidelity’s management of such Plan investments and JP Morgan Chase’s and State Street Bank’s holdings of such investments as sub-custodians qualify as party-in-interest transactions; however, these transactions are exempt from the prohibited transaction rules under ERISA.

In addition, certain of the Plan’s investments are securities that have been issued by the Plan’s investment managers, custodian, sub-custodians, other service providers and their affiliated entities. The Plan’s investments in these securities also qualify as party-in-interest transactions; however, these transactions are exempt from the prohibited transactions rules under ERISA.

6. Tax Status of Plan

The Plan has received a determination letter from the IRS, dated April 14, 2015, stating that the Plan is qualified under Section 401(a) of the Code, subject to the Company’s adoption of certain amendments to the Plan. The Plan has been amended to comply with the determination letter issued by the IRS. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualified status. The Administrative Committee believes the Plan is being operated in compliance with the applicable requirements of the Code and therefore believes the Plan, as amended, is qualified and the related trust is tax exempt. The Plan is subject to audits, from time to time, by various authorities. The Administrative Committee believes the Plan’s information statement on Form 5500 is subject to examination for years after 2015.

 

10


Table of Contents

TIME WARNER SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS – (Continued)

 

7. Reconciliation to Form 5500

The net assets of the Plan that are attributed to fully benefit-responsive investment contracts will be recorded at fair value on the 2017 IRS Form 5500 and related schedules. The following is a reconciliation of the Plan’s net assets available for benefits and changes in net assets available for benefits between the financial statements and Form 5500 (thousands):

 

                                           
     December 31,  
     2017      2016  

Net assets available for benefits per the financial statements

    $ 5,184,581        $ 4,473,724   

Adjustment from contract value to fair value for fully benefit-responsive investment contracts

     (509)        2,932   
  

 

 

    

 

 

 

Net assets per the Form 5500

    $ 5,184,072        $ 4,476,656   
  

 

 

    

 

 

 

 

                                           
     Year Ended
December 31,
2017
 

Net investment income from the Plan per the financial statements

    $ 703,091   

Reversal of prior year adjustment from contract value to fair value for fully benefit-responsive investment contracts

     (2,932)  

Adjustment from contract value to fair value for fully benefit-responsive investment contracts

     (509)  
  

 

 

 

Net investment income from the Plan per the Form 5500

    $ 699,650   
  

 

 

 

 

11


Table of Contents

 

 

    

Supplemental Schedules


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule G, Part I – Schedule of Loans or Fixed Income Obligations in Default or Classified as Uncollectible

December 31, 2017

 

                Amount Received
During Reporting
Year
      Amount Overdue
(a)   (b)   (c)   (d)   (e)   (f)   (g)   (h)   (i)

Party-in

Interest

 

Identity and

Address of

Obligor

 

Detailed Description

of Loan Including Dates

of Making and Maturity,

Interest Rate, the Type

and Value of Collateral,

any Renegotiation of the

Loan and the Terms of

the Renegotiation and

Other Material Items

  Original
Amount
of Loan
  Principal   Interest  

Unpaid

Balance

at End

of Year

  Principal   Interest
 

Kaupthing Bank

 

KAUPTHING BK 5.75%

10/4/11 144A

   $ 120,000      $      $      $ 120,000      $ 120,000      $  
 

Kaupthing Bank

 

KAUPTHING BK 7.625%

2/28/15

    1,177,000                   1,177,000       1,177,000        
 

Landsbankinn

 

LANDSBANK IS MTN 6.1%

8/25/11

    641,000                   641,000       641,000        

 

13


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
    Commingled Trust Funds   
  5,326,713      

BlackRock Equity Index - Fund T*

    $ 563,646,109   
  2,545,154     

BlackRock Extended Equity - Market Fund K*

     260,289,286  
  15,795,575     

Blackrock MSCI ACWI ex-u.s. IMI Index Fund M*

     224,235,560  
  10,886,455     

Blackrock MSCI ACWI Minimum Volatility Index Fund F*

     135,318,632  
  20,739,507     

Blackrock US Debt Index Fund W*

     449,032,496  
  4,432,847     

FIAM Select Global Plus*

     83,204,532  
  15,529,139     

TS&W International Large Cap Equity Trust*

     194,039,693  
     

 

 

 

    Total Commingled Trust Funds     $   1,909,766,308  
  3,708,041       Time Warner Common Stock*     $ 339,174,510  

 

14


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

Other Common Stocks

  
  12,464      

2U INC

    $ 804,053   
  17,201     

ACCELERON PHARMA INC

     730,010  
  46,600     

ACTIVISION BLIZZARD INC

     2,950,712  
  56,805     

ACXIOM CORP

     1,565,546  
  19,495     

ADOBE SYSTEMS INC

     3,416,304  
  81,600     

ADTALEM GLOBAL EDUCATION INC

     3,431,280  
  72,730     

ADVANCED DISPOSAL SERVICES INC

     1,741,156  
  610,000     

AEGON NV (NY REGD) NY REG SH

     3,843,000  
  19,839     

AETNA INC

     3,578,757  
  3,000     

AGILENT TECHNOLOGIES INC

     200,910  
  10,640     

AGIOS PHARMACEUTICALS INC

     608,289  
  19,224     

ALARM.COM HOLDINGS INC

     725,706  
  26,700     

ALASKA AIR GROUP INC

     1,962,717  
  28,531     

ALDER BIOPHARMACEUTICALS INC

     326,680  
  32,670     

ALEXION PHARMACEUTICALS INC

     3,907,005  
  83,484     

ALIBABA GROUP HLD LTD SPON ADR

         14,395,146  
  31,600     

ALLEGIANT TRAVEL CO

     4,890,100  
  17,362     

ALLERGAN PLC

     2,840,076  
  16,640     

ALLIANCE DATA SYSTEMS CORP

     4,217,907  
  138,592     

ALLSCRIPTS HLTHCARE SOLS INC

     2,016,514  
  42,500     

ALNYLAM PHARMACEUTICALS INC

     5,399,625  
  17,385     

ALPHABET INC CL A

     18,313,359  
  47,199     

ALPHABET INC CL C

     49,389,033  
  46,388     

AMAZON.COM INC

     54,249,375  
  21,199     

AMEDISYS INC

     1,117,399  
  120,000     

AMERICAN AIRLINES GROUP INC

     6,243,600  
  146,000     

AMERICAN EXPRESS CO

     14,499,260  
  23,046     

AMERICAN TOWER CORP

     3,287,973  
  4,000     

AMERIPRISE FINANCIAL INC

     677,880  
  62,095     

AMETEK INC NEW

     4,500,025  
  215,000     

ANADARKO PETROLEUM CORP

     11,532,600  
  200     

ANALOG DEVICES INC

     17,806  
  2,293     

ANAPTYSBIO INC

     230,951  
  9,400     

ANTHEM INC

     2,115,094  
  160,059     

APACHE CORP

     6,757,691  
  12,796     

APPIAN CORP CL A

     402,818  

 

15


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  126,820      

APPLE INC

    $ 21,461,749   
  32,900     

APTIV PLC

     2,790,907  
  2,100     

ASML HLDG NV (NY REG SHS) NEW

     365,022  
  25,947     

ASPEN TECHNOLOGIES

     1,717,691  
  150,827     

ASSOCIATED BANC CORP

     3,831,006  
  373,865     

ASTRAZENECA PLC SPONS ADR

     12,973,116  
  54,600     

ATKORE INTERNATIONAL GROUP INC

     1,171,170  
  185,130     

BAKER HUGHES A GE CO

     5,857,513  
  1,768     

BALL CORP

     66,919  
  764,800     

BANK OF AMERICA CORPORATION

     22,576,896  
  242,600     

BANK OF NEW YORK MELLON CORP

     13,066,436  
  50,167     

BANKUNITED INC

     2,042,800  
  26,800     

BAXTER INTL INC

     1,732,352  
  112,200     

BB&T CORP

     5,578,584  
  71,500     

BEACON ROOFING SUPPLY INC

     4,558,840  
  28,086     

BECTON DICKINSON & CO

     6,012,089  
  10,861     

BEIGENE LTD SP ADR

     1,061,337  
  10,190     

BELDEN INC

     786,362  
  55,100     

BERRY GLOBAL GROUP INC

     3,232,717  
  9,600     

BIOGEN INC

     3,058,272  
  33,500     

BIOVERATIV INC W/I

     1,806,320  
  27,930     

BLACK HILLS CORP

     1,678,872  
  23,008     

BLACKBAUD INC

     2,174,026  
  19,711     

BLACKLINE INC

     646,521  
  38,300     

BOEING CO

     11,295,053  
  149,080     

BOOZ ALLEN HAMILTON HLDG CL A

     5,684,420  
  49,770     

BOSTON PRIVATE FINL HLDG INC

     768,947  
  165,800     

BOX INC CL A

     3,501,696  
  75,008     

BRIGHT HORIZONS FAMILY SOL INC

     7,050,752  
  20,000     

BRIGHTHOUSE FINANCIAL INC

     1,172,800  
  145,500     

BRISTOL-MYERS SQUIBB CO

     8,916,240  
  35,220     

BROADCOM LTD

     9,048,018  
  31,063     

BROADRIDGE FINANCIAL SOL

     2,813,687  
  63,607     

BROADSOFT INC

     3,492,024  
  75,523     

BWX TECHNOLOGIES INC

     4,568,386  
  30,369     

CAMBREX CORP

     1,457,712  
  4,596     

CANADIAN PAC RAILWAY LTD

     839,965  

 

16


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  232,700      

CAPITAL ONE FINANCIAL CORP

    $ 23,172,266   
  89,640     

CARROLS RESTAURANT GROUP INC

     1,089,126  
  13,382     

CASEY GENERAL STORES

     1,497,981  
  71,324     

CATALENT INC

     2,929,990  
  35,069     

CAVIUM INC

     2,939,834  
  10,466     

CBOE GLOBAL MARKETS INC

     1,303,959  
  61,000     

CELANESE CORP SER A

     6,531,880  
  38,007     

CELGENE CORP

     3,966,410  
  22,742     

CHARLES RIVER LABS INTL INC

     2,489,112  
  64,278     

CHARTER COMMUNICATIONS INC A

     21,594,837  
  30,160     

CHEMICAL FINANCIAL CORP

     1,612,655  
  1,900     

CHUBB LTD

     277,647  
  106,965     

CIGNA CORP

     21,723,522  
  45,903     

CINEMARK HOLDINGS INC

     1,598,342  
  27,900     

CINTAS CORP

     4,347,657  
  335,000     

CISCO SYSTEMS INC

     12,830,500  
  5,500     

CITIGROUP INC

     409,255  
  48,951     

COGENT COMMUNICATIONS HOLD INC

     2,217,480  
  22,008     

COHERUS BIOSCIENCES INC

     193,670  
  38,868     

COLUMBIA BANKING SYSTEMS INC

     1,688,426  
  696,040     

COMCAST CORP CL A

     27,876,402  
  62,650     

COMMERCIAL METALS CO

     1,335,698  
  56,283     

COMMVAULT SYSTEMS INC

     2,954,858  
  23,165     

COMPASS MINERALS INTL INC

     1,673,671  
  32,500     

CONCHO RESOURCES INC

     4,882,150  
  45,263     

CONNECTONE BANCORP INC

     1,165,522  
  3,200     

CONSTELLATION BRANDS INC CL A

     731,424  
  14,940     

COOPER STANDARD HOLDING INC

     1,830,150  
  17,433     

CORELOGIC INC

     805,579  
  47,971     

CORE-MARK HOLDING CO INC

     1,514,924  
  100,000     

CORNING INC

     3,199,000  
  33,295     

COSTAR GROUP INC

     9,886,950  
  400     

COSTCO WHOLESALE CORP

     74,448  
  62,986     

COTIVITI HOLDINGS INC

     2,028,779  
  85,600     

CRAY INC

     2,071,520  
  7,030     

CSX CORP

     386,720  
  21,060     

CTRIP.COM INTL LTD ADR

     928,746  

 

17


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  81,300      

DANAHER CORP

    $ 7,546,266   
  70,605     

DELL TECHNOLOGIES INC CL V

     5,738,774  
  23,500     

DELTA AIR INC

     1,316,000  
  116,260     

DIEBOLD NIXDORF INC

     1,900,851  
  55,250     

DIPLOMAT PHARMACY INC

     1,108,868  
  85,000     

DISH NETWORK CORP A

     4,058,750  
  21,500     

DOLLAR GENERAL CORP

     1,999,715  
  3,984     

DOWDUPONT INC

     283,740  
  27,490     

EDUCATION REALTY TR INC

     959,951  
  18,100     

EDWARDS LIFESCIENCES CORP

     2,040,051  
  41,785     

ELECTRONIC ARTS INC

     4,389,932  
  30,261     

ENERGEN CORP

     1,742,126  
  19,560     

ENVESTNET INC

     975,066  
  34,220     

EPAM SYSTEMS INC

     3,676,255  
  2,568     

EQUINIX INC

     1,163,869  
  33,407     

ESCO TECHNOLOGIES INC

     2,012,772  
  69,577     

EURONET WORLDWIDE INC

     5,863,254  
  79,700     

EVOQUA WATER TECHNOLOGIES CO

     1,889,687  
  47,600     

EXELIXIS INC

     1,447,040  
  175,000     

EXPRESS SCRIPTS HLDG CO

     13,062,000  
  192,873     

FACEBOOK INC A

         34,034,369  
  11,262     

FAIR ISAAC CORP

     1,725,338  
  132,590     

FEDERATED INVS INC CL B NV

     4,783,847  
  56,400     

FEDEX CORP

     14,074,056  
  33,700     

FERRARI NV

     3,533,108  
  119,325     

FIDELITY NATL INFORM SVCS INC

     11,227,289  
  167,920     

FIRST HORIZON NATIONAL CORP

     3,356,721  
  419     

FIRST REPUBLIC BANK

     36,302  
  25,900     

FISERV INC

     3,396,267  
  57,985     

FLEETCOR TECHNOLOGIES INC

     11,158,054  
  33,250     

FORTIVE CORP

     2,405,638  
  86,855     

GENPACT LTD

     2,756,778  
  82,500     

GILEAD SCIENCES INC

     5,910,300  
  266,900     

GLAXOSMITHKLINE PLC SPONS ADR

     9,466,943  
  154,200     

GLOBAL EAGLE ENTERTAINMENT INC

     353,118  
  127,191     

GLOBAL PAYMENTS INC

     12,749,626  
  61,100     

GOLDMAN SACHS GROUP INC

     15,565,836  

 

18


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  17,805      

GUIDEWIRE SOFTWARE INC

    $ 1,322,199   
  67,230     

H&E EQUIPMENT SERVICES INC

     2,732,900  
  58,420     

HABIT RESTAURANTS INC CL A

     557,911  
  16,681     

HANCOCK HOLDING CO

     825,710  
  49,600     

HARLEY-DAVIDSON INC

     2,523,648  
  18,100     

HARRIS CORP

     2,563,865  
  39,396     

HEALTHCARE SERVICES GROUP INC

     2,076,957  
  17,717     

HEICO CORP

     1,671,599  
  18,598     

HENRY SCHEIN INC

     1,299,628  
  876,900     

HEWLETT PACKARD ENTERPRISE CO

         12,592,284  
  35,347     

HEXCEL CORPORATION

     2,186,212  
  16,042     

HILTON INC

     1,281,114  
  53,713     

HMS HOLDINGS CORP

     910,435  
  88,900     

HOLOGIC INC

     3,800,475  
  77,830     

HOME DEPOT INC

     14,751,120  
  19,900     

HONEYWELL INTL INC

     3,051,864  
  127,390     

HOSTESS BRANDS INC CL A

     1,886,646  
  445,000     

HP INC

     9,349,450  
  45,210     

HSN INC

     1,824,224  
  9,700     

HUMANA INC

     2,406,279  
  12,022     

IDEX CORPORATION

     1,586,543  
  2,889     

IDEXX LABS INC

     451,782  
  1,091     

IHS MARKIT LTD

     49,259  
  768     

ILLUMINA INC

     167,800  
  11,000     

INCYTE CORP

     1,041,810  
  58,800     

INFINEON TECH AG SPONS ADR

     1,603,770  
  39,870     

INTERACTIVE BROKERS GROUP INC

     2,360,703  
  112,755     

INTERCONTINENTAL EXCHANGE INC

     7,955,993  
  25,066     

INTUIT INC

     3,954,913  
  14,550     

INTUITIVE SURGICAL INC

     5,309,877  
  14,600     

JOHN BEAN TECHNOLOGIES CORP

     1,617,680  
  234,920     

JOHNSON CONTROLS INTERNATL PLC

     8,952,801  
  17,505     

JOUNCE THERAPEUTICS INC

     223,189  
  168,900     

JPMORGAN CHASE & CO*

     18,062,166  
  145,000     

JUNIPER NETWORKS INC

     4,132,500  
  44,899     

KNIGHT-SWIFT TRANP HOLDG CL A

     1,962,984  
  264,866     

KOSMOS ENERGY LTD

     1,814,332  

 

19


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  22,440      

L3 TECHNOLOGIES INC

    $ 4,439,754   
  1,200     

LAM RESEARCH CORP

     220,884  
  67,870     

LIBERTY EXPEDIA HLDGS INC CL A

     3,008,677  
  38,003     

LIBERTY FORMULA ONE-A

     1,243,458  
  181,300     

LIBERTY INTERACTIVE CORP CL A

     4,427,346  
  159,243     

LIBERTY TRIPADVISOR HOLDG A WI

     1,500,865  
  33,791     

LIBERTY VENTURES CL A

     1,832,824  
  102,000     

LILLY (ELI) & CO

     8,614,920  
  14,991     

LINDBLAD EXPEDITIONS HOLDINGS

     146,762  
  10,968     

LITTELFUSE INC

     2,169,690  
  2,000     

LOWES COS INC

     185,880  
  23,596     

MACOM TECHNOLOGY SOLN HLDS INC

     767,814  
  23,893     

MAKEMYTRIP LIMITED

     713,206  
  33,100     

MARRIOTT INTERNATIONAL INC A

     4,492,663  
  8,100     

MARSH & MCLENNAN COS INC

     659,259  
  17,400     

MARTIN MARIETTA MATERIALS INC

     3,846,096  
  13,382     

MASONITE INTERNATIONAL CORP

     992,275  
  68,100     

MASTERCARD INC CL A

         10,307,616  
  32,290     

MATADOR RESOURCES COMPANY

     1,005,188  
  177,400     

MATTEL INC

     2,728,412  
  100,000     

MAXIM INTEGRATED PRODUCTS INC

     5,228,000  
  25,778     

MAXIMUS INC

     1,845,189  
  11,500     

MCDONALDS CORP

     1,979,380  
  18,722     

MEDIDATA SOLUTIONS INC

     1,186,413  
  85,000     

MEDTRONIC PLC

     6,863,750  
  10,500     

MERCADOLIBRE INC

     3,303,930  
  72,100     

MERCK & CO INC NEW

     4,057,067  
  78,017     

MERCURY SYSTEMS INC

     4,006,173  
  220,000     

METLIFE INC

     11,123,200  
  700     

MGM RESORTS INTERNATIONAL

     23,373  
  120,421     

MICRO FOCUS INTL PLC SPND ADR

     4,044,941  
  13,000     

MICROCHIP TECHNOLOGY

     1,142,440  
  632,665     

MICROSOFT CORP

     54,118,164  
  13,000     

MICROSTRATEGY INC CL A

     1,706,900  
  67,858     

MIMECAST LTD

     1,945,489  
  37,800     

MONSTER BEVERAGE CORP

     2,392,362  
  170,544     

MORGAN STANLEY

     8,948,444  

 

20


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  155,000      

NATIONAL OILWELL VARCO INC

    $ 5,583,100   
  89,200     

NCR CORP

     3,031,908  
  67,500     

NETAPP INC

     3,734,100  
  49,935     

NETFLIX INC

     9,585,523  
  25,764     

NETSCOUT SYSTEMS INC

     784,514  
  9,822     

NEUROCRINE BIOSCIENCES INC

     762,089  
  74,200     

NEWS CORP NEW CL A

     1,202,782  
  3,000     

NEXTERA ENERGY

     468,570  
  70,700     

NINTENDO LTD ADR

     3,186,456  
  17,900     

NORDSON CORP

     2,620,560  
  3,000     

NORTHROP GRUMMAN CORP

     920,730  
  5,700     

NORWEGIAN CRUISE LINE HLGS LTD

     303,525  
  188,800     

NOVARTIS AG SPON ADR

         15,851,648  
  25,680     

NUVASIVE INC

     1,502,023  
  18,800     

OCCIDENTAL PETROLEUM CORP

     1,384,808  
  106,565     

ON ASSIGNMENT INC

     6,848,933  
  163     

O’REILLY AUTOMOTIVE INC

     39,208  
  74,710     

PACWEST BANCORP

     3,765,384  
  12,445     

PAYLOCITY HOLDING CORP

     586,906  
  88,000     

PAYPAL HLDGS INC

     6,478,560  
  28,210     

PBF ENERGY INC CL A

     1,000,045  
  56,080     

PENSKE AUTOMOTIVE GROUP INC

     2,683,428  
  92,141     

PERFORMANCE FOOD GROUP CO

     3,049,867  
  13,500     

PHILIP MORRIS INTL INC

     1,426,275  
  9,400     

PIONEER NATURAL RESOURCES CO

     1,624,790  
  13,650     

PNM RESOURCES INC

     552,143  
  12,065     

PRICESMART INC

     1,038,797  
  20,090     

PRIMERICA INC

     2,040,140  
  149,060     

PROGRESSIVE CORP OHIO

     8,395,059  
  8,232     

PROOFPOINT INC

     731,084  
  18,051     

PROSPERITY BANCSHARES INC

     1,264,834  
  11,400     

PUMA BIOTECHNOLOGY INC

     1,126,890  
  39,358     

RAYMOND JAMES FINANCIAL INC.

     3,514,669  
  200     

RAYTHEON CO

     37,570  
  20,169     

REALPAGE INC

     893,487  
  23,658     

RED HAT INC

     2,841,326  
  17,950     

REGAL BELOIT CORP

     1,374,970  

 

21


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  200      

REGENERON PHARMACEUTICALS INC

    $ 75,192   
  27,530     

RENASANT CORP

     1,125,702  
  62,210     

REXNORD CORP NEW

     1,618,704  
  242,400     

ROCHE HOLDING LTD SPON ADR

     7,654,992  
  10,700     

ROCKWELL AUTOMATION INC

     2,100,945  
  8,800     

ROPER TECHNOLOGIES INC

     2,279,200  
  39,000     

ROSS STORES INC

     3,129,750  
  17,300     

ROYAL CARIBBEAN CRUISES LTD

     2,063,544  
  50,360     

S&P GLOBAL INC

     8,530,984  
  109,000     

SALESFORCE.COM INC

     11,143,070  
  355,400     

SANOFI SPON ADR

     15,282,200  
  44,545     

SBA COMMUNICATIONS CORP

     7,276,871  
  150,000     

SCHLUMBERGER LTD

     10,108,500  
  598,955     

SCHWAB CHARLES CORP

         30,768,318  
  3,033     

SEMPRA ENERGY

     324,288  
  61,097     

SERVICENOW INC

     7,966,438  
  14,600     

SHERWIN WILLIAMS CO

     5,986,584  
  304     

SHIRE PLC SPON ADR

     47,156  
  17,888     

SITEONE LANDSCAPE SUPPLY INC

     1,372,010  
  3,280     

SJW GROUP

     209,362  
  34,150     

SKYWEST INC

     1,813,365  
  299,100     

SLM CORP

     3,379,830  
  12,180     

SOUTH STATE CORP

     1,061,487  
  39,300     

SPIRIT AIRLINES INC

     1,762,605  
  868,889     

SPRINT CORP

     5,117,756  
  162,231     

SRC ENERGY INC

     1,383,830  
  8,752     

STANLEY BLACK & DECKER INC

     1,485,127  
  1,000     

STARBUCKS CORP

     57,430  
  33,700     

STATE STREET CORP*

     3,289,457  
  37,500     

STRYKER CORP

     5,806,500  
  47,459     

SUMMIT MATERIALS INC CL A

     1,492,111  
  19,900     

SYMANTEC CORP

     558,394  
  35,000     

SYNOPSYS INC

     2,983,400  
  39,505     

SYNOVUS FINANICAL CORP

     1,893,870  
  40,900     

TAKE-TWO INTERACTV SOFTWR INC

     4,490,002  
  2,000     

TAPESTRY INC

     88,460  
  92,500     

TARGET CORP

     6,035,625  

 

22


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  113,611      

TD AMERITRADE HOLDING CORP

    $ 5,808,930   
  87,000     

TE CONNECTIVITY LTD

     8,268,480  
  249,800     

TENCENT HOLDINGS LTD UNS ADR

         12,969,616  
  81,100     

TERADYNE INC

     3,395,657  
  7,508     

TESLA INC

     2,337,616  
  10,200     

TEXAS INSTRUMENTS INC

     1,065,288  
  700     

TEXTRON INC

     39,613  
  12,170     

THE BOOKING HOLDINGS INC

     21,148,296  
  20,977     

THERMO FISHER SCIENTIFIC INC

     3,983,113  
  1,000     

TJX COMPANIES INC NEW

     76,460  
  35,194     

TORCHMARK CORP

     3,192,448  
  46,500     

TOTAL SYS SVCS INC

     3,677,685  
  22,265     

TRANSDIGM GROUP INC

     6,114,414  
  33,200     

TRANSUNION

     1,824,672  
  86,200     

TWENTY FIRST CENTURY FOX CL B

     2,941,144  
  395,000     

TWENTY FIRST CENTURY FOX INC-A

     13,639,350  
  300     

ULTA BEAUTY INC

     67,098  
  54,216     

ULTIMATE SOFTWARE GROUP INC

     11,831,558  
  12,711     

ULTRAGENYX PHARMA INC

     589,536  
  18,560     

UMB FINANCIAL CORP

     1,334,835  
  75,927     

UNION PACIFIC CORP

     10,181,811  
  3,400     

UNITED CONTINENTAL HLDGS INC

     229,160  
  137,859     

UNITEDHEALTH GROUP INC

     30,392,395  
  119,729     

UNIVAR INC

     3,706,810  
  45,810     

URBAN EDGE PROPERTIES WI

     1,167,697  
  8,400     

VAIL RESORTS INC

     1,784,748  
  11,700     

VANTIV INC

     860,535  
  69,961     

VERINT SYSTEMS INC

     2,927,868  
  59,280     

VERISK ANALYTICS INC

     5,690,880  
  70,895     

VERTEX PHARMACEUTICALS INC

     10,624,325  
  271,846     

VISA INC CL A

     30,995,881  
  6,200     

VMWARE INC CL A

     776,984  
  29,000     

VULCAN MATERIALS CO

     3,722,730  
  97,585     

WAGEWORKS INC

     6,050,270  
  27,801     

WALMART INC

     2,745,349  
  139,840     

WASTE CONNECTIONS INC (US)

     9,920,250  
  240,000     

WEATHERFORD INTERNATIONA PLC

     1,000,800  

 

23


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  32,794      

WEBSTER FINANCIAL

    $ 1,841,711   
  11,466     

WELBILT INC

     269,566  
  375,000     

WELLS FARGO & CO

     22,751,250  
  100,300     

WENDYS CO

     1,646,926  
  36,908     

WEX INC

     5,212,517  
  19,022     

WILLIS TOWERS WATSON PLC

     2,866,425  
  39,249     

WINGSTOP INC

     1,529,926  
  29,020     

WOODWARD INC

     2,221,191  
  17,700     

WORKDAY INC CL A

     1,800,798  
  2,000     

XILINX INC

     134,840  
  54,500     

YANDEX NV CL A

     1,784,875  
  43,600     

YUM BRANDS INC

     3,558,196  
  115,000     

ZAYO GROUP HOLDINGS INC

     4,232,000  
  5,000     

ZOETIS INC CL A

     360,200  
     

 

 

 

    Total Other Common Stocks     $   1,634,589,130  

 

24


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

Synthetic Investment Contracts**

  
  

CASH***

    $ 22,279   
  

COLCHESTER STREET TRUST MONEY MARKET PORTFOLIO

  
  3,254,735      

CLASS 1

         3,254,735  
  1,050,000     

ABBOTT LAB 2.35% 11/30/19

     1,052,782  
  644,000     

ABBVIE INC 2.5% 05/14/20

     648,048  
  339,000     

ACE INA HOLDING 2.3% 11/03/20

     339,691  
  1,247,000     

ACTAVIS FUNDING SCS 3% 3/12/20

     1,269,476  
  401,000     

AIG INTL GRP 4.875% 6/01/22

     437,616  
  740,000     

AIR LEASE CORP 2.625% 07/01/22

     740,664  
  777,000     

ALLYA 2017-1 A3 1.7% 02/21

     773,966  
  510,000     

AMERICAN EXPRESS 2.25% 5/05/21

     507,711  
  1,000,000     

AMERICAN EXPRESS 2.6% 09/14/20

     1,012,720  
  516,000     

AMERICAN HONDA 1.7% 02/22/19

     516,984  
  750,000     

AMERICAN HONDA FIN 1.7% 9/9/21

     734,370  
  1,255,000     

AMERICAN INTL GROUP 2.3% 7/19

     1,267,168  
  266,000     

AMERICAN INTL GRP 3.3% 3/01/21

     274,069  
  555,000     

AMGEN INC 2.125% 05/01/2020

     553,979  
  440,000     

AMGEN INC 2.2% 05/22/19

     441,102  
  1,020,000     

AMOT 2015-3 A 1.63% 05/20

     1,020,036  
  746,000     

AMOT 2017-3 A2 2.04% 6/22

     740,508  
  177,000     

AMPHENOL CORP NEW 3.2% 4/1/24

     179,575  
  1,429,000     

AMXCA 2017-1 A 1.93% 09/22

     1,423,644  
  1,050,000     

AMXCA 2017-3 A 1.77% 11/22

     1,041,510  
  865,000     

AMXCA 2017-6 A 2.04% 05/23

     861,618  
  1,071,000     

ANHUESER-BUSCH 2.65% 2/01/21

     1,088,105  
  1,250,000     

ANHUESER-BUSCH IN 1.9% 2/01/19

     1,257,219  
  1,154,000     

ANHUESER-BUSCH IN 3.3% 2/01/23

     1,196,585  
  695,000     

ANTHEM INC 2.95% 12/01/22

     697,472  
  536,000     

AT&T INC 2.45% 06/30/20

     535,415  
  1,000,000     

AT&T INC 2.8% 02/17/21

     1,014,760  
  292,000     

AVALONBAY COMM 3.625% 10/1/20

     303,215  
  1,285,000     

BACCT 2017-A1 A1 1.95% 08/22

     1,280,366  
  1,177,000     

BACCT 2017-A2 A2 1.84% 1/23

     1,166,459  
  654,000     

BACM 2016-UB10 A2 2.723% 06/49

     656,400  
  1,000,000     

BAE SYSTEMS 2.85% 12/15/20

     1,005,686  
  500,000     

BANK AMER FDG 2.25% 4/21/20

     502,507  

 

25


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  268,000      

BANK AMER FDG CRP 2.6% 1/15/19

    $ 272,113   
  1,439,000     

BANK AMERICA CORP 2.65% 4/1/19

         1,456,590  
  800,000     

BANK NOVA SCOTIA 2.8% 07/21/21

     817,090  
  1,000,000     

BANK OF AMER 2.625% 10/19/20

     1,013,573  
  1,010,000     

BANK OF AMERICA 2.625% 4/19/21

     1,020,357  
  530,000     

BANK T-M UFJ 2.35% 9/8/19 144A

     533,907  
  520,000     

BANK TOKYO-MSB 2.3% 03/20 144A

     521,951  
  450,000     

BARCLAYS PLC 2.75% 11/8/19

     452,789  
  500,000     

BARCLAYS PLC 2.875% 06/20

     502,438  
  568,000     

BARCLAYS PLC 3.25% 01/12/21

     582,120  
  1,020,000     

BAT INTL FIN 2.75% 6/20 144A

     1,026,170  
  760,000     

BAT INTL FIN 3.5% 6/22 144A

     778,556  
  141,000     

BECTON DICKINSO 2.675% 12/19

     141,660  
  386,000     

BERKSHIRE HATH 2.2% 3/15/21

     387,253  
  1,000,000     

BMW US 2.7% 04/06/22 144A

     1,009,686  
  510,000     

BMWLT 2017-2 A3 2.07% 10/20

     508,930  
  700,000     

BMWOT 2016-A A3 1.16% 07/20

     694,745  
  1,000,000     

BNK OF NOVA SCOTIA 2.7% 3/7/22

     1,008,423  
  634,000     

BNP PARIBA 2.45% 03/17/19

     641,605  
  1,594,000     

BOA 3.004%/VAR 12/20/23 144A

     1,599,332  
  530,000     

BP CAP MKTS PLC 2.521% 1/20

     540,582  
  883,000     

BP CAPITAL MKT PLC 2.315% 2/20

     892,933  
  248,000     

BP CAPITAL MKTS 1.676% 5/3/19

     247,344  
  540,000     

BPCE SA 2.5% 7/15/19

     548,026  
  630,000     

BPCM 1.375% 5/10/18

     630,264  
  718,000     

BRITISH TELECOM PLC 2.35% 2/19

     725,131  
  636,000     

CAN NATURAL RES 3.45% 11/15/21

     653,268  
  1,000,000     

CANADIAN IMP BANK 2.55% 6/22

     994,153  
  1,260,000     

CAPITAL ONE BK 2.25% 2/13/19

     1,270,986  
  520,000     

CAPITAL ONE FIN 2.45% 04/24/19

     523,545  
  1,000,000     

CAPITAL ONE NA 1.85% 9/13/19

     995,801  
  884,000     

CARMX 16-4 A3 1.4% 08/21

     875,639  
  333,123     

CARMX 2015-3 A3 1.63% 06/20

     332,818  
  404,000     

CARMX 2017-3 A3 1.97% 04/22

     402,169  
  431,000     

CARMX 2017-4 A3 2.15% 10/22

     429,295  
  714,000     

CATERPILLAR FINL 2.1% 01/10/20

     719,604  
  1,308,000     

CCCIT 17-A2 A2 1.74% 01/21

     1,315,450  

 

26


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  1,998,000      

CCCIT 2014-A6 A6 2.15% 07/21

    $     2,019,877   
  1,282,000     

CCCIT 2016-A1 A1 0% 11/21

     1,275,969  
  1,165,000     

CCCIT 2017-A3 A3 1.92% 04/22

     1,162,952  
  1,000,000     

CCCIT 2017-A8 A8 1.86% 8/8/22

     998,104  
  1,044,000     

CCCIT 2017-A9 A9 1.8% 09/21

     1,043,305  
  137,000     

CGCMT 13-GC11 A4 3.093% 04/46

     139,320  
  527,000     

CGCMT 2012-GC8 A4 3.024% 9/45

     535,615  
  905,000     

CGCMT 2015-GC29 A2 2.674% 4/48

     909,912  
  244,000     

CGCMT 2016-P4 A2 2.446% 07/49

     243,726  
  473,000     

CGCMT 2017-P7 A2 3.199% 04/50

     484,292  
  1,285,000     

CHAIT 2016-A2 A 1.37% 06/15/21

     1,273,452  
  1,310,000     

CHAIT 2016-A5 A5 1.27% 07/21

     1,295,326  
  520,000     

CHEVRON CORP NEW 1.961% 03/20

     521,484  
  468,000     

CHEVRON PHIL 2.45% 5/1/20 144A

     469,915  
  510,000     

CISCO SYSTEMS 2.45% 6/15/20

     513,859  
  500,000     

CITIGROUP 2.15% 07/18

     504,818  
  1,000,000     

CITIGROUP INC 2.35% 08/02/21

     998,722  
  500,000     

CITIGROUP INC 2.45% 1/10/20

     506,024  
  530,000     

CITIGROUP INC 2.5% 7/29/19

     537,168  
  630,000     

CITIGROUP INC 2.55% 04/08/19

     635,878  
  800,000     

CITIGROUP INC 2.75% 04/25/2022

     802,316  
  771,000     

CITIGROUP INC 4.4% 6/10/25

     815,606  
  309,000     

CITIZENS BANK NA 2.5% 03/14/19

     312,006  
  1,892,000     

CITIZENS BANK NA 2.55% 5/13/21

     1,891,245  
  525,000     

CITIZENS BANK NA 2.65% 5/26/22

     521,486  
  800,000     

CITIZENS BK MTN 2.45% 12/04/19

     801,917  
  93,000     

CITIZENS FINCL 2.375% 7/28/21

     92,712  
  2,113,000     

COMCAST CORP 1.625% 01/15/22

     2,058,937  
  289,000     

COMET 2015-A2 A2 2.08% 03/23

     288,520  
  713,000     

COMET 2015-A8 A8 2.05% 08/23

     710,409  
  1,310,000     

COMET 2016-A3 A3 1.34% 04/22

     1,297,459  
  1,042,000     

COMET 2016-A4 A4 1.33% 6/15/22

     1,029,678  
  1,043,000     

COMET 2017-A3 A3

     1,037,498  
  1,040,000     

COMET 2017-A4 A4 1.99% 07/23

     1,034,346  
  319,000     

COMM 15-CR23 ASB 3.257% 05/48

     327,410  
  271,000     

COMM 15-CR26 ASB 3.373% 10/48

     280,275  
  1,708,636     

COMM 2010-C1 A3 4.205 7/46

     1,769,140  

 

27


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  531,000      

COMM 2012-CR3 A3 2.822% 10/45

    $ 533,151   
  662,670     

COMM 2012-CR3 ASB 2.372% 11/45

     662,355  
  1,138,000     

COMM 2012-LC4 A4 3.288% 12/44

         1,161,722  
  611,000     

COMM 2013-CR6 A4 3.101% 03/46

     620,936  
  843,000     

COMM 2013-CR7 A4 3.213% 03/46

     862,359  
  373,000     

COMM 2013-CR8 A5 3.612% 06/46

     388,412  
  900,000     

COMM 2014-CR17 A2 3.012% 05/47

     911,294  
  600,000     

COMM 2014-CR18 A2 2.924% 07/47

     604,372  
  547,000     

COMM 2014-CR20 A2 2.801% 11/47

     553,295  
  356,000     

COMM 2015-CR22 A2 2.856% 03/48

     360,374  
  530,000     

COMMONWEALTH BK NY 2.3% 9/6/19

     534,561  
  1,040,000     

COMMWLTH BK ASTL NYB 2.3% 3/20

     1,047,780  
  561,000     

COMPASS BANK 2.875% 6/29/22

     555,153  
  247,000     

COMWLTH EDISON 2.15% 01/15/19

     249,483  
  592,000     

CONOCOPHILLIP CO 2.2% 05/15/20

     592,298  
  381,000     

CONSOLIDATED EDISON 2% 5/15/21

     376,116  
  606,000     

CPART 17-1A A3 2.05% 03/21

     603,720  
  530,000     

CREDIT SUISSE NY 2.3% 5/19

     531,583  
  550,000     

CREDIT SUISSE NY 3% 10/29/21

     558,424  
  273,000     

CSAIL 2015-C2 ASB 3.2241% 6/57

     278,676  
  797,000     

CSAIL 2017-CX9 A2 2.884% 09/50

     809,831  
  500,000     

CVS CAREMARK 2.25% 12/5/18

     501,448  
  458,000     

CVS HEALTH CORP 2.8% 07/20/20

     465,613  
  519,000     

DAIMLER FIN 2.25% 3/20 144A

     520,844  
  1,000,000     

DAIMLER FIN 2.3% 2/12/21 144A

     994,432  
  618,000     

DAIMLER FIN 2.85% 1/6/22 144A

     629,137  
  1,100,000     

DAIMLER FIN NA 2.25% 9/19 144A

     1,104,777  
  1,000,000     

DAIMLER FIN NA 2.45% 5/20 144A

     1,002,109  
  181,000     

DANAHER CORP 2.4% 09/15/20

     182,949  
  903,000     

DBUBS 2011-LC2A A4 4.537% 7/44

     954,438  
  1,042,000     

DCENT 2012-A6 A6 1.67% 01/22

     1,036,877  
  1,043,000     

DCENT 2014-A4 A4 2.12% 12/21

     1,044,482  
  1,827,000     

DCENT 2015-A2 A 1.9% 10/22

     1,817,733  
  1,000,000     

DCENT 2015-A4 A4 2.19% 04/23

     1,000,218  
  1,000,000     

DCENT 2016-A1 A1 1.64% 07/21

     997,564  
  732,000     

DCENT 2016-A3 A3 1.85% 10/23

     722,174  
  1,042,000     

DCENT 2016-A4 A4 1.39% 3/22

     1,029,852  

 

28


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  787,000      

DCENT 2017-A6 A6 1.88% 2/15/23

    $ 780,769   
  1,324,000     

DEUTSCHE BANK AG 2.5% 2/13/19

         1,336,057  
  1,290,000     

DEUTSCHE BANK AG 2.85% 5/10/19

     1,299,396  
  1,030,000     

DIAMOND 1 FI 3.48% 6/1/19 144A

     1,045,798  
  384,000     

DIGITAL REALTY TR 2.75% 2/1/23

     384,794  
  500,000     

DISCOVER BANK 2.6% 11/13/18

     503,427  
  1,044,000     

DISCOVER BANK 3.1% 06/20

     1,058,753  
  184,000     

DOMINION RESOURCE 2% 8/15/21

     181,175  
  294,000     

DUKE ENERGY 1.8% 9/1/21

     287,693  
  517,000     

DUKE ENERGY COR 2.1% 06/15/18

     517,625  
  133,000     

EMERA US FINANCE 2.15% 6/15/19

     132,598  
  109,000     

ENTERPRISE PRD 2.55% 10/15/19

     109,918  
  407,000     

ENTERPRISE PROD 2.85% 4/15/21

     412,806  
  148,000     

EXELON CORP 2.85% 6/15/20

     149,511  
  460,000     

EXELON CORP VAR 06/01/2022

     470,069  
  640,000     

EXPRESS SCRIPTS HLD 2.6% 11/20

     640,793  
  1,010,000     

EXXON MOBIL CORP 2.222% 3/1/21

     1,015,065  
  792,000     

EXXON MOBIL CORP 2.726% 3/1/23

     804,690  
  93,284     

FHLG       5.50%  3/34 #G01665

     103,674  
  711,550     

FHLG       5.50%  5/34 #Z40042

     789,317  
  1,732,033     

FHLG 15YR  3.50% 10/26 #G14450

     1,796,813  
  98,756     

FHLG 15YR  4.00% 4/26 #E02867

     103,426  
  188,852     

FHLG 15YR  4.00% 6/24 #G18312

     196,821  
  149,863     

FHLG 15YR  4.00% 7/24 #G13596

     156,188  
  183,352     

FHLG 15YR  4.00% 9/25 #E02787

     191,334  
  127,354     

FHLG 15YR  4.00% 9/25 #G14376

     132,819  
  17,009     

FHLG 15YR  4.50% 8/18 #E98688

     17,180  
  7,888     

FHLG 15YR  4.50% 9/18 #E99205

     7,976  
  9,761     

FHLG 15YR  4.50% 10/18 #E99833

     9,869  
  7,022     

FHLG 15YR  4.50% 11/18 #B10931

     7,113  
  20,064     

FHLG 15YR  5.00% 3/19 #G13052

     20,323  
  34,397     

FHLG 15YR  5.00% 4/20 #G13598

     35,000  
  306     

FHLG 15YR  5.50% 4/18 #G11389

     308  
  176,446     

FHLG 15YR 2.5% 06/23#G14775

     177,987  
  82,299     

FHLG 15YR 2.5% 09/22#J20415

     83,038  
  1,813,738     

FHLG 15YR 3% 05/29#J29409

     1,857,136  
  785,313     

FHLG 15YR 3.5% 08/30#G15273

     814,439  

 

29


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  1,046,197      

FHLG 20YR 3.5% 06/32#C91456

    $     1,091,027   
  64,302     

FHLG 25YR 5.50% 7/35 #G05815

     71,398  
  121,241     

FHLM AR 12M+187.9 10/42#849255

     126,870  
  68,744     

FHLM ARM   2.98% 8/41 #1B8533

     72,701  
  37,824     

FHLM ARM   3.07% 9/41 #1B8608

     39,571  
  51,789     

FHLM ARM   3.58% 4/40 #1B4702

     54,514  
  28,130     

FHLM ARM  4.199% 8/36 #848185

     29,565  
  28,548     

FHLM ARM  4.941% 11/35 #1J1228

     29,385  
  22,620     

FHLM ARM 3.224% 4/41#1B8179

     23,727  
  25,052     

FHLM ARM 3.242% 9/1/41#1B8659

     26,222  
  29,349     

FHLM ARM 3.283 6/1/41

     30,780  
  26,447     

FHLM ARM 3.464% 5/1/41#1B8304

     27,786  
  48,016     

FHLM ARM 3.53% 4/40 #1B4657

     50,330  
  32,829     

FHLM ARM 3.627% 6/1/41#1B8372

     34,506  
  36,323     

FHLM ARM 3.717% 05/41#1B8124

     38,179  
  740,874     

FHR 2015-4472 WL 3% 05/45

     751,530  
  65,446     

FHR 3415 PC 5% 12/37

     70,665  
  941,803     

FHR 4046 LA 3% 11/2026

     954,137  
  1,348,032     

FHR 4656 PA 3.5% 10/45

     1,395,715  
  1,672,700     

FHR 4683 EA 2.5% 05/47

     1,670,379  
  557,665     

FHR SER 4221 CLS GA 1.4% 7/23

     549,320  
  1,000,000     

FIFTH THIRD BAN 2.375% 4/25/19

     1,007,171  
  500,000     

FIFTH THIRD BAN 2.875% 7/27/20

     511,401  
  645,000     

FITAT 2017-1 A3 2.03% 02/22

     640,913  
  27,540     

FNMA       6.50%  7/32 #545759

     31,424  
  9,667     

FNMA       6.50%  7/32 #545762

     11,027  
  12,170     

FNMA       6.50%  7/35 #745092

     13,938  
  17,866     

FNMA       6.50%  8/36 #888034

     20,366  
  9,625     

FNMA       6.50% 12/32 #735415

     10,979  
  1,136,000     

FNMA 0.875% 08/02/19

     1,121,792  
  2,815,000     

FNMA 1% 02/26/19

     2,797,491  
  1,846,000     

FNMA 1.5% 11/30/20

     1,821,121  
  277,567     

FNMA 10YR 2.5% 05/23 #MA1431

     279,944  
  123,667     

FNMA 10YR 2.5% 10/22#AB6544

     124,690  
  102,681     

FNMA 10YR 2.5% 10/22#AB6730

     103,542  
  157,913     

FNMA 15YR 3.50% 1/26 #AL1168

     163,856  
  691,454     

FNMA 15YR 3.50% 3/27 #AL1746

     717,694  

 

30


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  429,253      

FNMA 15YR 3.50% 5/27 #AL1741

    $ 445,341   
  156,327     

FNMA 15YR 3.50% 5/27 #AL1751

     162,137  
  2,861,803     

FNMA 15YR 3% 09/31#AL8853

         2,930,948  
  275,045     

FNMA 15YR 3.5% 01/27 #AX1909

     285,268  
  60,265     

FNMA 15YR 3.5% 07/26#AI7819

     62,505  
  603,782     

FNMA 15YR 3.5% 09/29#AL5878

     629,336  
  249,075     

FNMA 15YR 3.5% 10/29#AL5851

     259,617  
  391,657     

FNMA 15YR 4.5% 11/25#AL8242

     412,111  
  311,573     

FNMA 20YR 2.5% 01/33#AL2974

     311,881  
  354,216     

FNMA 20YR 2.5% 01/33#AL2975

     355,010  
  208,221     

FNMA 20YR 2.5% 01/33#AL2976

     208,687  
  251,807     

FNMA 20YR 2.5% 01/33#AL2982

     252,371  
  512,585     

FNMA 5.50% 11/34 #310105

     569,803  
  97,369     

FNMA 6.50% 12/35 #AD0723

     111,044  
  81,234     

FNMA 6.50% 8/36 #888544

     92,785  
  66,903     

FNMA 6.50% 8/36 #AE0746

     76,390  
  25,602     

FNMA ARM  2.61% 4/35 #995609

     26,916  
  13,268     

FNMA ARM  3.01% 8/41 #AI4358

     13,851  
  48,508     

FNMA ARM  3.37% 9/41 #AI8935

     50,987  
  52,632     

FNMA ARM  3.47% 3/40 #AD0820

     55,479  
  64,980     

FNMA ARM  3.60% 3/40 #AD1555

     68,360  
  56,270     

FNMA ARM  4.21% 5/35 #889946

     59,077  
  70,901     

FNMA ARM  4.30% 2/35 #995017

     74,206  
  46,200     

FNMA ARM  4.53% 12/34 #802852

     49,005  
  53,286     

FNMA ARM  4.68% 11/34 #735011

     54,889  
  44,484     

FNMA ARM 06/42#AO2244

     46,041  
  26,086     

FNMA ARM 09/41#AI9813

     27,513  
  12,426     

FNMA ARM 10/41#AJ3399

     12,997  
  62,402     

FNMA ARM 11/36 #995606

     65,123  
  11,302     

FNMA ARM 11/40#AE6806

     11,851  
  122,789     

FNMA ARM 12/33#AD0066

     127,636  
  77,538     

FNMA ARM 3.20% 1/40 #AC0599

     81,522  
  33,280     

FNMA ARM 3.228% 7/41#AI3469

     34,879  
  21,439     

FNMA ARM 3.365% 10/41#AI6819

     22,221  
  43,011     

FNMA ARM 3.545% 07/41#AI6050

     45,521  
  270,350     

FNMA ARM 4.198% 11/34 #841068

     286,367  
  354,457     

FNMA ARM 4.55% 10/35 #995415

     371,400  

 

31


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  80,424      

FNMA ARM 7/35 #995414

    $ 85,133   
  566,186     

FNR 2011-26 PA 4.5% 04/41

     601,162  
  1,604,429     

FNR 2013-16 GP 3% 03/33

         1,632,310  
  902,081     

FNR 2014-83 P 3% 06/43

     911,834  
  1,273,504     

FNR 2015-28 JE 3% 05/45

     1,291,679  
  1,874,100     

FNR 2015-28 P 2.5% 5/45

     1,860,018  
  717,959     

FNR 2015-32 PA 3% 4/44

     726,096  
  1,110,572     

FNR 2015-42 LE 3% 06/45

     1,126,692  
  797,554     

FNR 2015-49 LE 3% 07/45

     808,444  
  991,471     

FNR 2015-54 GA 2.5% 07/45

     988,951  
  1,671,344     

FNR 2016-100 P 3.5% 11/44

     1,727,450  
  1,088,602     

FNR 2016-105 PA 3.5% 4/45

     1,124,990  
  845,911     

FNR 2016-19 AH 3% 04/46

     857,780  
  2,121,680     

FNR 2016-26 CG 3% 05/46

     2,150,619  
  1,109,371     

FNR 2016-27 HK 3% 01/41

     1,123,944  
  554,728     

FNR 2016-27 KG 3% 01/40

     561,830  
  2,133,675     

FNR 2016-34 GH 3% 06/46

     2,163,904  
  2,239,657     

FNR 2016-37 BK 3% 06/46

     2,270,289  
  1,737,344     

FNR 2017-11 HA 3.5% 12/45

     1,798,970  
  1,917,087     

FNR 2017-20 AP 3.5% 03/45

     1,981,528  
  1,674,732     

FNR 2017-74 PA 3.5% 11/45

     1,725,727  
  1,232,346     

FNR 2017-97 P 3% 01/47

     1,247,065  
  1,385,000     

FORD CRD 16-1 A 2.31% 08/27

     1,381,831  
  500,000     

FORD MTR CR CO 2.681% 01/09/20

     507,584  
  445,000     

FORD MTR CR LLC 3.339% 3/28/22

     453,938  
  968,000     

FORDF 2016-1 A1 1.76% 02/21

     965,504  
  988,000     

FORDF 2016-3 A1 1.55% 07/21

     979,808  
  1,042,000     

FORDF 2017-2 A1 2.37% 09/22

     1,039,109  
  736,000     

FORDO 16-B A3 1.33% 10/20

     732,982  
  411,623     

FORDO 2015-C A3 1.41% 02/20

     411,131  
  865,836     

FORDO 2016-A A3 2.01% 07/20

     863,527  
  925,000     

FORDO 2017-A A3 1.67% 6/21

     919,855  
  565,000     

FORDR 2014-2 A 2.31% 04/26

     566,413  
  538,000     

FORDR 2015-2 A 2.44% 01/27

     540,638  
  520,000     

FORDR 2017-1 A 2.62% 8/28

     520,916  
  370,000     

FORTIVE CORP 2.35% 06/15/21

     367,112  
  1,106,000     

GENERAL ELEC CO 3.375% 3/11/24

     1,150,779  

 

32


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  739,000      

GENERAL MTRS FIN 2.65% 4/13/20

    $ 743,355   
  770,000     

GFORT 16-1 A1 1.86% 05/21

     768,344  
  825,000     

GFORT 17-1 A1 2.22% 1/22 144A

     823,680  
  219,910     

GMALT 2015-2 A3 1.68% 12/18

     219,981  
  529,000     

GOLDMAN SACHS 2.625% 04/25/21

     531,127  
  2,260,000     

GOLDMAN SACHS GRP 2.625% 1/19

         2,294,493  
  878,000     

GOLDMAN SACHS GRP 2.75 9/15/20

     889,437  
  389,000     

GSINC 5.25% 7/27/21

     430,289  
  138,000     

GSMS 14-GC18 AAB 3.648% 01/47

     143,203  
  160,000     

GSMS 14-GC20 AAB 3.655% 04/47

     165,704  
  354,000     

GSMS 15-GC32 AAB 3.513% 7/48

     366,928  
  549,923     

GSMS 2012-GC6 A3 3.482% 01/45

     567,380  
  813,263     

GSMS 2012-GCJ9 A3 2.773% 11/45

     816,753  
  212,000     

GSMS 2013-GC10 A4 2.681% 02/46

     211,892  
  1,066,000     

GSMS 2013-GC10 A5 2.943% 02/46

     1,077,321  
  355,000     

GSMS 2015-GC28 AAB 3.206% 2/48

     363,502  
  502,250     

HAROT 2015-4 A3 1.23% 09/23/19

     500,635  
  420,105     

HAROT 2016-2 A3 1.39% 4/20

     418,978  
  922,000     

HAROT 2017-1 A3 1.72% 07/21

     916,461  
  545,185     

HART 2015-C A3 1.46% 02/20

     544,423  
  347,000     

HART 2016-A A3 1.56% 09/20

     346,230  
  1,037,000     

HART 2016-B A3 1.29% 4/21

     1,026,577  
  1,300,000     

HEWLETT PACKAR STEP 10/05/18

     1,315,109  
  550,000     

HFMOT 2016-1A A2 1.81% 03/21

     548,789  
  1,030,000     

HSBC HOLDINGS 2.95% 5/25/21

     1,040,015  
  750,000     

HSBC USA INC NE 1.7% 03/05/18

     753,880  
  513,000     

HUNT AUTO 16-1 A3 1.57% 11/20

     511,256  
  750,000     

HUNTINGTN BCSHRS 2.3% 1/14/22

     745,839  
  510,000     

HYUNDAI CAP AM 2.6% 3/20 144A

     509,571  
  950,000     

HYUNDAI CAP AME 2.55 2/19 144A

     958,022  
  145,000     

INGERSOLL-RND LX 2.625% 5/1/20

     145,586  
  668,000     

INTERCONT EXCH 2.75% 12/01/20

     677,447  
  654,000     

ITC HLDGS CORP 2.7% 11/22 144A

     655,032  
  971,000     

JAPAN BANK INTL 1.5% 7/21/21

     942,823  
  443,000     

JPMBB 14-C22 ASB 3.5036% 09/47*

     458,118  
  508,000     

JPMBB 15-C29 A2 2.8596% 05/48*

     514,308  
  983,000     

JPMC CO 2.2% 10/22/19*

     986,105  

 

33


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  928,000      

JPMC CO 2.35% 01/28/19*

    $ 939,030   
  500,000     

JPMC CO 2.55% 10/29/20*

     503,630  
  915,000     

JPMCC 13-C10 A5 3.1425% 12/47*

     934,796  
  607,000     

JPMCC 16-JP4 A2 2.9343% 12/49*

     615,632  
  378,228     

JPMCC 2012-C6 A3 3.5074 5/45*

     391,377  
  600,163     

JPMCC 2012-C8 A3 2.8291% 10/45*

     604,543  
  561,000     

JPMCC 2015-JP1 A2 3.1438% 1/49*

     571,636  
  1,540,000     

JPMORGAN CHASE & CO 2.75% 6/20*

     1,554,291  
  790,000     

JPMORGAN CHASE &CO2.25%1/23/20*

     797,230  
  500,000     

KEY BANK NA 2.35% 3/8/19

     504,568  
  413,000     

KEY BANK NA 2.5% 12/15/19

     414,626  
  970,000     

KEYCORP MTN 2.3% 12/13/18

     972,563  
  379,000     

KINDER MORGAN IC 3.05% 12/1/19

     383,240  
  672,000     

LOCKHEED MARTIN 2.5% 11/23/20

     678,017  
  630,000     

MANU&TRD NT PRG 2.3% 1/30/19

     636,561  
  525,000     

MANUFACT &TRADE 2.5% 5/18/22

     524,242  
  450,000     

MANUFCTRS & TRDR 2.1% 02/06/20

     452,296  
  780,000     

MARSH & MCLENN 2.35% 03/06/20

     785,368  
  1,000,000     

MASSMUTUAL 2.45% 11/23/20 144A

         1,003,931  
  1,000,000     

MASSMUTUL GLBL 2.5% 4/22 144A

     998,696  
  993,000     

MBART 2016-1 A3 1.26% 02/21

     986,711  
  98,000     

MCDONALDS CORP 2.75% 12/20

     99,174  
  642,000     

MCDONALDS MTN 2.625% 1/15/22

     651,017  
  863,000     

MCKESSON CO 2.284% 03/15/2019

     868,903  
  1,060,000     

MEDTRONIC INC 2.5% 3/15/20

     1,074,015  
  1,000,000     

MET LIFE GLBL FDG 2% 4/20 144A

     996,560  
  750,000     

MET LIFE GLOB 2.65% 4/22 144A

     754,359  
  715,000     

MIDAMERICAN ENERGY 2% 11/18

     717,381  
  530,000     

MITSUBISHI 2.45% 10/16/19 144A

     533,485  
  1,010,000     

MITSUBISHI UFJ FI 2.95% 3/1/21

     1,029,055  
  525,000     

MITSUBISHI UFJ FIN 2.998% 2/22

     533,913  
  640,000     

MIZUHO BK LTD 2.45 4/19 144A

     643,685  
  500,000     

MIZUHO BNK LTD 2.65% 9/19 144A

     505,848  
  716,000     

MIZUHO FINL 2.273% 9/13/21

     707,740  
  510,000     

MIZUHO FINL 2.632% 04/21 144A

     511,458  
  500,000     

MIZUHO FINL GROUP 2.953% 2/22

     506,180  
  129,000     

MOODYS CORP 2.75% 12/15/21

     129,305  

 

34


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  1,030,000      

MORGAN STANLEY 2.375% 7/23/19

    $     1,041,795   
  1,955,000     

MORGAN STANLEY 2.5% 01/24/19

     1,981,164  
  1,000,000     

MORGAN STANLEY 2.5% 04/21/21

     1,003,091  
  800,000     

MORGAN STANLEY 2.65% 01/27/20

     812,637  
  750,000     

MORGAN STANLEY 2.75% 05/19/22

     749,560  
  238,000     

MSBAM 15-C22 ASB 3.04% 4/15/48

     242,031  
  1,141,000     

MSBAM 2012-C6 A4 2.858% 11/45

     1,148,817  
  279,000     

MSBAM 2013-C11 A4 CSTR 8/46

     298,383  
  749,000     

MSBAM 2013-C7 A4 2.918% 2/46

     757,142  
  858,000     

MSBAM 2013-C8 A4 3.134% 12/48

     875,232  
  936,596     

MSBAM 2014-C14 A2 2.916% 2/47

     945,611  
  579,000     

MSBAM 2014-C16 ASB 3.477% 6/47

     597,238  
  721,000     

MSBAM 2014-C17 ASB 3.477% 8/47

     743,892  
  142,000     

MSBAM 2015-C21 ASB 3.15% 03/48

     144,800  
  422,000     

MSC 2011-C2 A4 4.661% 06/44

     448,623  
  515,000     

MUFG AMERICAS HLD 2.25% 02/20

     516,713  
  592,000     

NAROT 2016-B A3 1.32% 01/15/21

     588,254  
  932,000     

NAROT 2016-C A3 1.18% 01/21

     922,896  
  1,043,000     

NAROT 2017-A A3 1.74% 08/21

     1,037,462  
  129,876     

NEF 2005-1 A5 4.74% 10/45

     129,355  
  1,310,000     

NEW YORK LIFE 1.95% 2/20 144A

     1,311,358  
  200,000     

NEXTERA ENERGY 1.649% 9/1/18

     200,520  
  559,000     

NMOTR 2016-A A2 1.54% 06/21

     554,664  
  940,000     

NORDEA BK AB 2.375% 4/4/19 144

     947,517  
  280,000     

NYC TFA (PIT) 2.05% 08/01/23

     273,096  
  255,000     

NYC TFA (PIT) 2.85% 02/01/24

     258,459  
  645,000     

NYS UDC 2.67% 03/15/23

     647,755  
  1,140,000     

NYS UDC 2.7% 03/15/23

     1,138,404  
  750,000     

ONTARIO PROVINCE 1.25% 06/19

     741,087  
  1,000,000     

ORACLE CORP 1.9% 09/15/21

     989,706  
  93,000     

PG&E CORP 2.4% 03/01/19

     93,793  
  1,599,000     

PHILIP MORRIS INTL 1.875% 2/21

     1,580,110  
  650,000     

PHILIP MORS INT 1.875% 1/15/19

     654,363  
  1,000,000     

PNC BANK NA 2.15% 4/29/21

     994,711  
  530,000     

PNC BANK NA 2.4% 10/18/19

     533,305  
  500,000     

PNC BANK NA 2.55% 12/09/21

     500,471  
  780,000     

PRICOA GLBL 2.45% 9/21/22 144A

     778,199  

 

35


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  1,070,000      

PRINCIPAL FDG 2.375% 9/19 144A

    $     1,079,599   
  500,000     

PROTECTIVE LF 2.161% 9/20 144A

     497,383  
  1,000,000     

PROTECTVE LFE 2.615% 8/22 144A

     994,957  
  692,000     

PRUDENTIAL MTN 3.5% 05/15/24

     721,714  
  717,000     

PUBLIC SERVICE ELE 2.65% 11/22

     713,497  
  354,000     

PUBLIC SVC ENT 2% 11/15/21

     346,456  
  1,000,000     

QUEBEC PROVINCE 2.375% 1/31/22

     1,006,232  
  400,000     

REGIONS FINL CORP 2.75% 8/22

     402,875  
  750,000     

REGIONS FINL CORP 3.2% 2/8/21

     772,562  
  566,000     

REYNOLDS AMERICAN 3.25% 6/20

     576,044  
  349,000     

REYNOLDS AMERICAN 4% 6/12/22

     365,337  
  1,000,000     

ROPER TECHNOLOGIES 3% 12/15/20

     1,013,159  
  780,000     

ROPER TECHNOLOGS 2.8% 12/15/21

     782,258  
  1,500,000     

ROYAL BANK OF CANA 2.15% 10/20

     1,496,028  
  700,000     

ROYAL BK CAN GL 2.35% 10/30/20

     702,574  
  1,250,000     

ROYAL BK OF CAN 2.125% 3/2/20

     1,254,956  
  313,000     

S&P GLOBAL INC 2.5% 8/18

     316,859  
  252,000     

SELECT INCOME REIT 2.85% 02/18

     254,993  
  656,000     

SEMPRA ENERGY 2.4% 3/15/20

     660,220  
  397,000     

SEMPRA ENERGY 2.85% 11/15/20

     401,961  
  750,000     

SHELL INTL 2.25% 11/10/20

     752,133  
  771,000     

SHELL INTL FIN BV 2.125% 05/20

     771,624  
  1,250,000     

SHIRE ACQ INV IRE 2.4% 9/23/21

     1,238,360  
  208,000     

SIMON PROP GRP 2.35% 1/30/22

     208,052  
  860,000     

SIMON PROPERTY 2.75% 06/01/23

     858,561  
  1,250,000     

SOUTHERN COMPANY 2.35% 7/1/21

     1,257,144  
  362,000     

SOUTHERN PWR CO 2.375% 6/1/20

     361,897  
  1,027,000     

SRT 2017-A A3 2.58% 01/21

     1,024,822  
  907,000     

SSTRT 17-1A A3 1.89% 8/20

     904,683  
  623,000     

SSTRT 17-2A A3 2.04% 4/21 144A

     619,399  
  575,000     

SSTRT 2016-1A A3 1.524% 03/20

     572,849  
  500,000     

SUMITOMO BKG 2.45% 01/16/20

     505,747  
  630,000     

SUMITOMO BKG 2.45% 1/10/19

     638,708  
  657,000     

SUMITOMO MITSUI 2.934% 3/9/21

     669,156  
  750,000     

SUNTRUST BANKS INC 2.9% 3/3/21

     765,457  
  188,000     

SYNCHRONY FIN 3% 8/15/19

     191,420  
  1,215,000     

SYNCHRONY FINANCL 2.6% 1/15/19

     1,231,792  

 

36


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  1,014,000      

SYNCT 2015-1 A 2.37% 03/23

    $ 1,018,201   
  454,271     

TAOT 2016-B A3 1.3% 04/20

     452,828  
  592,000     

TAOT 2016-C A3 1.14% 08/20

     588,308  
  251,000     

THERMO FISHER 2.15% 12/14/18

     251,583  
  115,000     

THERMO FISHER 2.4% 02/01/19

     116,422  
  453,000     

TIAA AST MG 2.95% 11/1/19 144A

     459,506  
  1,020,000     

TORONTO DOM BANK 2.125% 4/7/21

     1,015,246  
  530,000     

TORONTO DOM BK 2.125% 7/02/19

     535,489  
  1,900,000     

TOTAL CAP INTL 2.125% 01/10/19

     1,920,954  
  1,000,000     

TOYOTA MOTOR CORP 2.6% 1/11/22

     1,017,533  
  1,050,000     

TRANSCANADA 2.125% 11/15/19

     1,048,996  
  987,000     

TRANSCANADA PIP 2.5% 8/1/22

     990,879  
  132,000     

TYCO ELECTR GR 2.375% 12/17/18

     132,418  
  1,000,000     

UBS AG LON 2.45% 12/01/20 144A

     999,096  
  538,000     

UBSBB 2012-C2 A4 3.525 5/63

     557,235  
  410,000     

UNITED HEALTH 2.7% 7/15/20

     419,817  
  750,000     

UNITEDHEALTH GP 2.125% 3/15/21

     749,103  
  1,000,000     

USAA CAPITAL 2% 6/1/21 144A

     982,530  
  358,000     

USAOT 2017-1 A3 1.79% 05/21

     356,185  
  3,000,000     

UST NOTE 1.875% 03/31/22

     2,980,349  
  30,000,000     

UST NOTES 1.625% 07/31/20

         29,969,971  
  10,392,000     

USTN 0.75% 07/15/19

     10,252,235  
  8,971,000     

USTN 1.25% 10/31/21

     8,709,507  
  12,000,000     

USTN 1.375% 01/31/21

     11,839,427  
  21,225,000     

USTN 1.375% 03/31/20

     21,048,660  
  2,518,000     

USTN 1.375% 04/30/20

     2,492,451  
  26,310,000     

USTN 1.5% 05/15/20

     26,106,363  
  2,534,000     

USTN 1.5% 4/15/20

     2,518,281  
  18,000,000     

USTN 1.625% 08/31/22

     17,650,667  
  4,000,000     

USTN 1.75% 06/30/22

     3,927,457  
  12,000,000     

USTN 1.75% 12/31/20

     11,916,832  
  20,000,000     

USTN 2.25% 03/31/21

     20,246,189  
  502,000     

VERIZON COM 2.946% 03/15/22

     509,352  
  658,000     

VERIZON COMM 1.75% 8/15/21

     644,610  
  500,000     

VERIZON COMMS INC 3% 11/21

     508,038  
  819,000     

VERIZON COMMUNS 2.625% 2/21/20

     833,635  
  700,000     

VOLKSWAGEN 2.125% 11/18 144A

     701,105  

 

37


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  513,000      

VOLKSWAGEN GRP 2.4% 5/20 144A

    $ 512,804   
  927,000     

VZOT 16-1A A 1.42% 01/21

     921,313  
  603,000     

VZOT 17-2A A 1.92% 12/21

     599,353  
  1,051,000     

VZOT 2016-2A A 1.68% 5/21

         1,044,350  
  1,050,000     

VZOT 2017-3A A1A 2.06% 04/22

     1,045,274  
  520,000     

WASHINGTON PG 3.85% 4/1/20

     526,392  
  530,000     

WELLPOINT INC 2.25% 8/15/19

     533,460  
  1,000,000     

WELLS FARGO & CO 2.15% 1/15/19*

     1,011,454  
  1,000,000     

WELLS FARGO & CO MTN 2.6% 7/20*

     1,017,574  
  1,000,000     

WESTPAC BANKING 1.6% 08/19/19

     995,377  
  1,050,000     

WESTPAC BANKING 2.8% 1/11/22

     1,071,189  
  1,163,117     

WFCM 2012-LC5 A3 2.918% 10/45*

     1,175,099  
  415,562     

WFCM 2012-LC5 ASB 2.528% 10/45*

     417,562  
  286,758     

WFCM 2013-LC12 A1 1.676% 7/46*

     286,823  
  590,000     

WFCM 2015-C27 ASB 3.278% 2/48*

     604,825  
  580,000     

WFCM 2016-C34 A2 2.603% 06/49*

     580,946  
  196,000     

WFCM 2016-C35 A2 2.495% 07/48*

     195,542  
  428,000     

WFCM 2016-C37 A2 3.103% 12/49*

     435,393  
  312,248     

WFCM 2016-LC25 1.795% 12/15/59*

     309,186  
  108,000     

WFRBS 13-C12 ASB 2.838% 03/48*

     109,075  
  228,000     

WFRBS 13-C16 ASB 3.963% 09/46*

     237,744  
  281,000     

WFRBS 14-C20 ASB 3.638% 05/47*

     291,474  
  332,000     

WFRBS 14-C23 ASB 3.636% 10/57*

     345,764  
  694,000     

WFRBS 2011-C3 A4 4.375% 3/44*

     729,766  
  445,000     

WFRBS 2012-C7 A2 3.431% 6/45*

     458,270  
  42     

WFRBS 2012-C8 A2 1.881% 8/45*

     42  
  625,000     

WFRBS 2012-C9 A3 2.87% 11/45*

     630,672  
  267,446     

WFRBS 2012-C9 ASB 2.445% 11/45*

     268,327  
  1,133,000     

WFRBS 2013-C11 A5 3.071% 03/45*

     1,152,408  
  274,000     

WFRBS 2013-C12 A4 3.198% 3/48*

     280,296  
  208,619     

WFRBS 2013-C14 A2 2.133% 6/46/*

     208,978  
  342,000     

WFRBS 2013-C14 A5 3.337% 6/46/*

     352,109  
  292,000     

WISCONSIN ENERGY 2.45% 6/15/20

     292,864  
  762,000     

WOART 2016-A A3 1.77% 09/21

     760,209  
  212,121     

WOLS 2015-A A3 1.54% 10/18

     212,229  
  281,000     

XCEL ENERGY INC 2.4% 03/15/21

     281,099  
  782,000     

XEROX CORP 2.75% 03/15/19

     788,326  

 

38


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  141,000      

ZOETIS INC 3.45% 11/13/20

    $ 144,968   
  

Total Wrap Rebid Value

     40,217  
     

 

 

 

    Total Synthetic Investment Contracts     $ 509,785,475  
    Mutual Funds   
  

Fidelity BrokerageLink*

    $ 225,610,828  
  5,501,910     

DFA Emerging Markets Core Equity Portfolio Institutional Class Fund*

     127,754,352  
  60,807     

Fidelity Investments Money Market Government Portfolio*

     60,807  
  691,845     

PIMCO Priv ABS Sector Fund (732)*

     8,731,082  
  132,846     

PIMCO Short Term Floating NAV Portfolio II*

     1,329,388  
     

 

 

 

    Total Mutual Funds     $ 363,486,457  
    U.S. Government Agency Securities   
    United States Treasury Notes   
  2,200,000     

UST NOTE 1.875% 03/31/22

    $ 2,174,992  
  7,000,000     

UST NOTE 2.25% 02/15/27

     6,906,050  
  6,300,000     

USTN 1.5% 08/15/26

     5,859,733  
  4,000,000     

USTN 1.875% 04/30/22

     3,951,848  
  3,200,000     

USTN 2% 06/30/24

     3,138,025  
  3,600,000     

USTN 2.125% 09/30/21

     3,602,016  
  12,700,000     

USTN 2.25% 04/30/21

     12,783,425  
  8,400,000     

USTN 2.25% 08/15/27

     8,279,261  
  7,600,000     

USTN 2.25% 11/15/24

     7,558,986  
  6,500,000     

USTN 2.375% 05/15/27

     6,479,478  
  5,800,000     

USTN 2.375% 8/15/24

     5,817,224  
  1,100,000     

USTN 2.5% 05/15/24

     1,112,169  
  1,800,000     

USTN 2.75% 02/15/24

     1,846,853  
  200,000     

USTN TII 0.75% 2/15/45

     211,129  
  200,000     

USTN TII 1% 2/15/46

     223,022  
  500,000     

USTN TII 1.375% 02/15/44

     612,566  
  2,850,000     

USTN TII 2.5% 1/15/29

     3,977,464  
  100,000     

USTN TII 3.875% 4/15/29

     204,888  
     

 

 

 

    Total United States Treasury Notes     $ 74,739,129  

 

39


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

United States Treasury Bonds

  
  1,500,000      

USTB 2.25% 8/15/46

    $ 1,351,535   
  600,000     

USTB 2.5% 2/15/46

     570,314  
  5,200,000     

USTB 2.75% 08/15/47

     5,200,656  
  200,000     

USTB 2.75% 8/15/42

     201,178  
  5,900,000     

USTB 2.750% 11/15/42

     5,931,028  
  600,000     

USTB 2.875% 5/15/43

     616,289  
  6,100,000     

USTB 2.875% 8/15/45

     6,248,968  
  800,000     

USTB 3% 11/15/44

     839,373  
  4,900,000     

USTB 3% 5/15/42

     5,152,114  
  6,000,000     

USTB 3.125% 8/15/44

     6,441,936  
  500,000     

USTB 3.625% 08/15/43

     582,958  
  300,000     

USTB 4.375% 5/15/40

     386,463  
     

 

 

 

    Total United States Treasury Bonds     $     33,522,812  
    Federal Agency Obligations   
    Federal Home Loan Mortgage Corporation   
  386,459     

FHLG       5.00% 3/38 #A74793

    $ 420,265  
  31,258     

FHLG       5.50% 11/35 #A39302

     34,753  
  109,265     

FHLG       5.50% 12/38 #G06172

     119,466  
  289,131     

FHLG       6.00% 6/38 #G04715

     325,723  
  514,748     

FHLG       6.00% 11/39 #G06409

     579,973  
  53,019     

FHLG       6.50% 9/39 #G06669

     60,954  
  3,000,000     

FHLG 30YR 3.5% 02/48 #TBA

     3,076,676  
  9,200,000     

FHLG 30YR 4% 02/48 #TBA

     9,610,242  
  23,876     

FHLM ARM  5.65% 9/37 #1G3704

     24,393  
  19,081     

FHLM ARM  5.84% 2/37 #1N1447

     19,765  
  41,233     

FHLM ARM  5.95% 5/37 #1N1582

     42,356  
  45,700     

FHLM ARM  6.03% 5/37 #1N1463

     47,131  
  70,360     

FHLM ARM 4.433% 7/35 #1B3925

     73,240  
     

 

 

 

    Total Federal Home Loan Mortgage Corporation     $ 14,434,937  

 

40


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

Federal National Mortgage Association

  
  622,208      

FNMA       4.50% 4/41 #AL0215

    $ 667,420   
  74,931     

FNMA       4.50% 9/41 #AB3517

     80,352  
  54,291     

FNMA       5.50% 8/38 #995072

     60,312  
  21,589     

FNMA       6.00% 5/35 #821192

     24,445  
  6,737     

FNMA       6.00% 9/37 #952504

     7,600  
  7,904     

FNMA       6.00% 10/35 #745000

     8,939  
  6,660     

FNMA       6.50% 1/37 #897910

     7,620  
  27,158     

FNMA       6.50% 5/36 #895817

     31,022  
  15,964     

FNMA       6.50% 8/36 #745744

     18,203  
  10,439     

FNMA       6.50% 9/36 #897131

     11,907  
  193,220     

FNMA       6.50% 10/41 #AL0814

     220,690  
  236,403     

FNMA       6.50% 10/41 #AL0886

     268,964  
  126,861     

FNMA     6.50% 10/41 #AL0885

     144,720  
  13,300,000     

FNMA 30YR 3% 02/48 #TBA

     13,286,542  
  3,315,542     

FNMA 30YR 3% 05/43#AR8293

     3,334,851  
  13,000,000     

FNMA 30YR 3.5% 02/48 #TBA

     13,331,245  
  28,200,000     

FNMA 30YR 3.5% 03/48 #TBA

     28,872,280  
  11,163     

FNMA 30YR 4% 02/34#763516

     11,766  
  24,000,000     

FNMA 30YR 4% 02/48 #TBA

     25,070,196  
  7,000,000     

FNMA 30YR 4.5% 02/48 #TBA

     7,438,922  
  146,678     

FNMA ARM 5.51% 2/37 #913990

     149,819  
  1,205,990     

FNMA ARM 2.463% 01/36#AL7183

     1,272,393  
  3,374     

FNR 11-15 AB 9.75% 8/19

     3,445  
  46,527     

FNR 2004-38 FK 1ML+35 5/34

     46,586  
  11,844     

FNR 2010-110 AE 9.75% 11/18

     12,109  
  92,329     

FNR 2010-118 YB IO INV 10/40

     15,853  
  118,170     

FNR 2011-63 SW IO INV 7/41

     22,271  
  791,460     

FNR 2016-62 AF 1ML+45 9/46

     793,664  
  60,068     

FNS 390 C3 IO 6% 7/38

     12,661  
  35,191     

FNS 407 40 0 1/38

     7,576  
  69,431     

FNS 407 41 IO 6% 1/38

     15,329  
  8,874     

FNS 407 C22 IO 1/39

     1,766  
     

 

 

 

    Total Federal National Mortgage Association     $     95,251,468  

 

41


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

Freddie Mac

  
  3,305,133      

FHMS K006 AX1 CSTR 1/20

    $ 54,780   
  820,066     

FHMS K007 X1 CSTR 4/20

     16,129  
  920,200     

FHMS K008 X1 CSTR 6/25/20

     28,377  
  890,260     

FHMS K009 X1 CSTR 8/20

     25,340  
  3,974,157     

FHMS K014 X1 IO CSTR 4/21

     131,522  
  229,637     

FHMS K702 X1 CSTR 2/18

     163  
  2,225,940     

FHMS K703 X1 CSTR 5/18

     7,462  
  1,387,334     

FHMS KAIV X1 CSTR 6/46

     47,007  
  58,001     

FHR 3738 BP 4% 12/38

     59,639  
     

 

 

 

    Total Freddie Mac     $ 370,419  

 

42


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

Government National Mortgage Association

  
  34,637      

GNII         5.00% 9/40 #004802

    $ 37,693   
  16,223     

GNII II     5.00% 7/40 #004747

     17,654  
  173,812     

GNII II     5.00% 8/40 #004772

     188,066  
  72,570     

GNII II     6.50% 10/37 #004040

     84,228  
  1,000,000     

GNII II 3.5% 02/48 #TBA

     1,033,034  
  2,000,000     

GNII II 4% 02/48 #TBA

     2,084,731  
  400,000     

GNII II 4.5% 02/48 #TBA

     419,631  
  2,000,000     

GNMA 30YR 3% 01/48 #TBA

     2,018,264  
  1,000,000     

GNMA 30YR 3.5% 02/48 #TBA

     1,033,620  
  1,000,000     

GNMA 30YR 4% 02/48 #TBA

         1,043,967  
  65,020     

GNMA II     5.00% 7/40 #783050

     70,576  
  1,000,000     

GNMA II 3.5% 01/47 #TBA

     1,034,245  
  16,706     

GNR 10-116 JS -1ML+605 12/39

     1,446  
  40,905     

GNR 11-70 BS -1ML+670 IO 12/36

     1,981  
  3,533,939     

GNR 15-H12 FB 1ML+60 05/65

     3,533,870  
  349,379     

GNR 16-H19 FE 1ML+.37 6/20/61

     349,443  
  41,898     

GNR 2005-13 SD -1ML+680 2/35

     7,418  
  8,096     

GNR 2005-81 SD -1ML+630 12/34

     125  
  158,241     

GNR 2006-47 SA 1ML+680 8/36

     28,335  
  162,036     

GNR 2009-106 SU IO INV 5/37

     26,040  
  28,993     

GNR 2009-45 AI IO 1ML+596 4/39

     3,353  
  104,949     

GNR 2009-61 SA 1ML+670 8/39

     17,805  
  142,514     

GNR 2009-61 WQ 1ML+625 11/35

     24,844  
  23,269     

GNR 2009-68 SL 1ML+675 4/39

     2,487  
  973,208     

GNR 2009-HO1 FA 1.4% 11/59

     983,507  
  7,420     

GNR 2010-107 SG -1ML+615 2/38

     82  
  37,067     

GNR 2010-109 SB -1ML+660 8/40

     6,580  
  190,506     

GNR 2010-115 SP -1ML+540 9/40

     23,935  
  250,860     

GNR 2010-117 PS 1ML+600 10/39

     21,813  
  237,769     

GNR 2010-14 SC -1ML+480 8/35

     23,598  
  68,276     

GNR 2010-146 GS IO ML+610 6/39

     4,490  
  87,022     

GNR 2010-147 S -1ML+665 11/40

     15,903  
  96,853     

GNR 2010-151 SM -1ML+608 11/40

     16,017  
  91,994     

GNR 2010-151SA IO ML+605 11/40

     14,161  
  64,426     

GNR 2010-160 SW 1ML+655 10/38

     3,626  
  33,720     

GNR 2010-3 MS IO 1ML+655 11/38

     1,793  

 

43


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  28,479      

GNR 2010-31 GS 1ML+650 3/39

    $ 1,685   
  2,633     

GNR 2010-39 SP -1ML+655 11/38

     45  
  30,786     

GNR 2010-42 BS -1ML+648 4/40

     5,154  
  30,786     

GNR 2010-47 AS -1ML+644 4/40

     5,097  
  70,840     

GNR 2010-47 VS -1ML+625 11/37

     10,304  
  153,506     

GNR 2010-50 QS 1ML+655 12/38

     9,614  
  99,259     

GNR 2010-57 QS -1ML+650 5/40

     16,761  
  163,690     

GNR 2010-60 S -1ML+650 5/40

     27,697  
  169,649     

GNR 2010-62 SB -1ML+575 5/40

     22,710  
  130,657     

GNR 2010-68 SD -1ML+658 6/40

     23,066  
  32,500     

GNR 2010-76 SH -1ML+650 5/40

     5,434  
  40,492     

GNR 2010-85 HS IO 1ML+665 1/40

     4,577  
  30,990     

GNR 2010-85 JS -1ML+657 4/40

     5,275  
  116,169     

GNR 2010-87 SK IML+650 7/40

     20,316  
  467,682     

GNR 2010-H010 FC 1ML+100 5/60

     473,692  
  960,752     

GNR 2010-H20 AF 1ML+33 10/60

     955,889  
  873,980     

GNR 2010-H24 FA 1ML+35 10/60

     869,869  
  268,664     

GNR 2011-11 SA -1ML+600 1/41

     39,879  
  20,829     

GNR 2011-32 S IO -1ML+600 3/41

     3,029  
  67,704     

GNR 2011-4 PS -1ML+618 9/40

     9,315  
  28,084     

GNR 2011-40 SA -1ML+613 2/36

     413  
  124,710     

GNR 2011-81 SA -1ML+540 6/41

     16,256  
  265,357     

GNR 2011-H09 AF IML+50 3/61

     265,369  
  693,772     

GNR 2016-H18 FA 1ML+75 08/66

     698,918  
  963,958     

GNR 2016-H20 PT VAR 09/20/66

     1,060,690  
  852,806     

GNR 2016-H23 FD 1ML+37 10/66

     853,163  
     

 

 

 

  

 Total Government National Mortgage Association

    $

 

19,582,578

 

 

 

     

 

 

 

  

 Total U.S. Government and Agency Securities

    $     237,901,343  

 

44


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

Other Fixed Income Securities

  
  80,371      

ACCR 2003-3 A1 5.21% 12/33

    $ 82,342   
  462,677     

ACE 2006-SL3 A1 1ML+10 6/36

     53,785  
  300,000     

ACRE 10-ARTA A2FX 4.9543% 1/29

     320,676  
  330,926     

AHM 2005-4 1A1 1ML+29 3/35

     328,204  
  800,000     

ALEXANDRIA REAL EST 3.9% 6/23

     826,667  
  100,000     

ALLY FINL INC 3.25% 02/13/2018

     100,050  
  200,000     

ALLY FINL INC 3.6% 05/21/2018

     200,600  
  1,400,000     

ALLYA 2017-4 A2 1.59% 04/20

     1,395,992  
  100,000     

ALLYA 2017-5 A2 1.81% 06/20

     99,872  
  192,537     

ARC 2004-1 A5 1ML+50 10/34

     193,079  
  900,000     

AT&T INC 3.4% 05/15/25

     884,625  
  2,100,000     

AT&T INC FRN 3ML+95 7/21

     2,128,778  
  800,000     

BACCT 2015-A2 A 1.36% 09/20

     799,136  
  162,943     

BALTA 2004-9 3A1 CSTR 9/34

     158,538  
  162,307     

BALTA 2005-2 2A4 CSTR 4/35

     160,309  
  700,000     

BANK NOVA SCOTIA BA 0% 1/03/18

     556,352  
  200,000     

BANK NOVA SCOTIA BA 0% 1/08/18

     159,015  
  1,300,000     

BANK OF AMERICA 4.125% 1/24

         1,382,349  
  100,000     

BANK OF MONTREAL BA 0% 1/17/18

     79,479  
  200,000     

BANK OF MONTREAL BA 0% 1/19/18

     158,947  
  1,000,000     

BANKAMER 4.1% 07/24/23

     1,061,791  
  200,000     

BARCLAYS 3.2% 08/10/21

     201,076  
  1,250,000     

BARCLAYS BANK YCD 1.94% 9/4/18

     1,250,105  
  1,500,000     

BARCLAYS BK NY 3ML+47 05/17/18

     1,501,689  
  800,000     

BARCLAYS PLC 8%/VAR PERP

     1,103,862  
  700,000     

BARCLAYS PLC FRN 3ML+0 8/10/21

     732,414  
  1,700,000     

BBCCR 15-GTP A 3.966% 08/33 14

     1,729,130  
  524,279     

BFAT 2007-SR1A M2 1ML+90 3/37

     490,397  
  1,100,000     

BMONT BA 0% 1/02/18

     874,251  
  400,000     

BMONT BA 0% 1/08/18

     317,919  
  500,000     

BMONT BA 0% 1/15/18

     397,399  
  25,800,000     

BRAZIL LETRAS TES NAC0% 4/1/18

     7,655,517  
  193,049     

BSABS 2005-AQ2 A3 1ML+36 9/35

     193,105  
  191,769     

BSABS 2005-CL1 A1 1ML+50 9/34

     184,404  
  213,471     

BSARM 2004-10 12A3 CSTR 1/35

     215,485  
  1,200,000     

BSP 2015-VIIA A1AR 3ML+78 7/27

     1,199,396  

 

45


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  250,000      

CA ST 7.3% 10/01/39

    $ 372,965   
  400,000     

CAVY 2014-4A AR 3ML+85 10/26

     399,800  
  300,000     

CC HOLDINGS 3.849% 4/15/23

     309,461  
  1,000,000     

CCO LLC/CAPITAL 4.464% 7/23/22

     1,043,222  
  900,000     

CHAIT 2017-A1 A 1ML+100 1/22

     903,203  
  800,000     

CHICAGO IL 7.75% 01/01/42

     888,552  
  100,000     

CITIGROUP IN 3ML+143 9/1/23

     102,932  
  1,000,000     

CITIGROUP INC 2.35% 08/02/21

     988,996  
  500,000     

CITIGROUP INC 2.7% 03/30/21

     501,471  
  800,000     

CITIGROUP INC 3ML+93 6/7/19

     806,304  
  600,000     

COMET 2016-A1 A1 1ML+45 02/22

     602,841  
  1,000,000     

COMM 16-COR1 ASB 2.972% 10/49

     1,003,961  
  130,000     

COMMNWLTH BNK AUST 5 10/19 144

     135,976  
  400,000     

CREDIT AGRICOLE 8.125% 9/33 RGS

     415,140  
  800,000     

CREDIT SUISSE 2.75% 03/26/20

     803,072  
  600,000     

CREDIT SUISSE 3.125% 12/20

     607,587  
  800,000     

CREDIT SUISSE 3.8% 6/9/23

     824,912  
  292,119     

CVS CAREMARK 6.943% 1/10/30

     341,548  
  626,981     

CWALT 05-36 2A1A 1ML+31 8/35

     531,770  
  239,022     

CWALT 2005-36 3A1 CSTR 8/35

     201,203  
  80,621     

CWALT 2005-61 1A1 1ML+26 12/35

     77,721  
  59,311     

CWALT 2006-OA1 2A1 1ML+21 3/46

     50,355  
  53,218     

CWHL 2004-23 A CSTR 11/34

     46,382  
  170,833     

CWHL 2006-HYB3 2A1A CSTR 6/36

     161,522  
  1,900,000     

DCENT 14-A1 A1 1ML+43 07/21

         1,906,497  
  101,214     

DELTA AIR 6.821% 2/10/24

     115,131  
  1,000,000     

DEPOSITORY 4.875/VAR PERP 144A

     1,040,000  
  900,000     

DEUTSCHE BANK AG 4.25% 10/21

     936,329  
  125,000     

DISH DBS CORP 7.875% 9/01/19

     133,750  
  51,546     

DMSI 2004-4 7AR2 1ML+45 6/34

     47,859  
  125,590     

DORIC NIMROD 5.125% 11/24 144A

     131,028  
  460,000     

EL PASO NAT GAS 8.375% 6/15/32

     604,023  
  1,199,000     

EMERALD BAY VAR 10/8/20 144A

     1,327,127  
  600,000     

ENBRIDGE FRN 3ML+40 01/10/20

     600,827  
  1,000,000     

ENBRIDGE FRN 3ML+70 6/15/20

     1,009,288  
  300,000     

ENTERPRISE PROD 5.2% 9/1/20

     320,507  
  1,600,000     

EVGRN 2017-1 A 1ML+26 10/15/21

     1,602,380  

 

46


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  148,693      

FFML 2004-FF3 M1 1ML+55 5/34

    $ 141,497   
  32,959     

FHAMS 2006-FA8 1A8 0 2/37

     19,583  
  89,896     

FIRST SEC UT 9.35 1/10/23 144A

     101,745  
  800,000     

FORD MTR CR LLC 2.459% 3/27/20

     797,384  
  200,000     

FORD MTR CR LLC 8.125% 1/15/20

     221,532  
  80,000     

GA MEAG 6.655% 4/1/57

     100,768  
  900,000     

GALL 2017-1A A 0% 07/27

     900,715  
  1,400,000     

GCCT 17-4A A 1ML+52 07/24

     1,405,545  
  100,000     

GMALT 2017-2 A2B 1ML+30 01/20

     100,119  
  2,800,000     

GMCAR 17-2A A2B 1193476+.15% 0

     2,801,707  
  10,000     

GOLDMAN SACHS GLB 7.5% 2/15/19

     10,568  
  300,000     

GOLDMAN SACHS GRP 3.5% 1/23/25

     304,682  
  500,000     

GOLDMAN SCHS 2.905/VAR 7/24/23

     496,444  
  780,000     

GS GRP INC MTN 6.25% 2/01/41

     1,050,324  
  339,407     

GSMPS 2005-RP1 1AF 1ML+35 1/35

     303,580  
  2,586,683     

GSMS 2011-GC3 X IO 3/44 144A

     44,782  
  79,743     

GSR 2005-AR5 2A3 CSTR 10/35

     71,118  
  1,230,000     

HCA INC 6.5% 2/15/20

         1,303,800  
  500,000     

HLA 2015-1A AR 3ML+92 04/27

     499,521  
  200,000     

HSBC BANK CDA BA 0% 1/05/18

     159,031  
  200,000     

HSBC BANK CDA BA 0% 1/08/18

     158,956  
  500,000     

HSBC BANK CDA BA 0% 1/15/18

     397,418  
  400,000     

HSBC BANK CDA BA 0% 1/17/18

     317,897  
  160,487     

HVMLT 05-15 2A11 1ML+27 10/45

     156,525  
  269,063     

HVMLT 2004-5 2A6 CSTR 6/34

     272,328  
  236,224     

HVMLT 2006-13 A 1ML+18 11/46

     202,207  
  600,000     

IL ST 6.725% 4/1/35

     666,324  
  83,997     

IMSA 2006-1 1A2B 1ML+20 5/36

     81,855  
  232,824     

INDA 2007-AR7 1A1 CSTR 11/37

     231,030  
  660,141     

INDX 05-AR14 2A1A 1ML+30 7/35

     636,073  
  94,787     

INDX 2006-AR6 2A1A 1ML+20 6/47

     85,116  
  2,100,000     

ING BK FRN 3ML+78 8/17/18 144A

     2,107,988  
  1,100,000     

ISAC 2010-1 A3 3ML+90 7/45

     1,093,521  
  4,000,000     

JAPAN GOVERNMENT 0% 1/29/18

     35,504  
  5,109,000,000     

JAPAN GOVERNMENT OF 0% 02/5/18

     45,348,785  
  22,000,000     

JAPAN GOVERNMENT OF 0% 2/13/18

     195,284  
  90,400,000     

JAPAN GOVT 0% 02/13/18

     802,440  

 

47


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  270,145      

JPMC 16-FLRR 1ML+145 1/33 144A*

    $ 270,338   
  300,000     

JPMC CO 2.55% 10/29/20*

     300,861  
  220,000     

JPMC CO 4.25% 10/15/20*

     230,658  
  400,000     

JPMC CO FRN 3ML+55 03/09/21*

     400,931  
  2,990,778     

JPMCC 2011-C4 XA CSTR 7/46*

     40,349  
  98,477     

JPMCC 2011-C5 A3 4.1712% 8/46*

     103,150  
  120,860     

JPMMT 2004-A3 3A3 CSTR 7/34*

     122,107  
  1,100,000     

JPMORGAN CHASE &CO2.25%1/23/20*

     1,099,204  
  1,200,000     

JPMORGAN CHASE 3ML+148 3/1/21*

         1,237,359  
  700,000     

JTWN 14-4A A1AR 3ML+69 7/15/26

     699,649  
  120,000     

KAUPTHING BK 5.75 10/4/11 144A

      
  1,177,000     

KAUPTHING BK 7.625% 2/28/15144

      
  60,000     

KINDER MORGAN EN 6.85% 2/15/20

     64,988  
  212,000     

KPN NV GLBL 8.375% 10/01/30

     291,122  
  413,000     

KRAFT FOODS 5.375% 02/20 WI

     437,548  
  1,400,000     

KUWAIT ST 2.75% 03/20/22 144A

     1,394,960  
  641,000     

LANDSBANK IS MTN6.1% 8/11 144A

     76,920  
  700,000     

LLOYD GRP 7.625%/VAR PERP REGS

     1,087,485  
  400,000     

LLOYDS BANKING GRP 3.1% 7/6/21

     403,995  
  354,553     

LXS 2006-14N 1A1B 1ML+21 9/46

     330,926  
  111,546     

MARM 2005-1 7A1 CSTR 2/35

     110,879  
  104,485     

MARM 2006-2 3A1 CSTR 1/36

     102,574  
  416,358     

MARP 2005-2 1A1F 1ML+35 5/35

     354,275  
  100,000     

MGM RESORTS 6.75% 10/1/20

     108,000  
  89,764     

MLCC 2003-F A1 1ML+32 10/28

     86,704  
  1,753,563     

MLMI 05-WMC1 M2 1193476+.795%

     1,742,358  
  27,394     

MLMI 2004-A3 4A3 CSTR 5/34

     27,970  
  59,152     

MLMI 2006-A1 1A1 CSTR 3/36

     51,145  
  724,853     

MLMI 2007-SD1 A1 1ML+45 2/47

     548,019  
  700,000     

MORGAN STANLEY 2.65% 01/27/20

     703,123  
  750,000     

MP CLO 2015-1A A1R 3ML+84 4/27

     750,000  
  800,000     

MQGAU FRN 3ML+35 04/19 144A

     800,823  
  500,000     

MSBAM 15-C20 ASB 3.069% 02/48

     506,917  
  600,000     

MSC 2014-CPT AM VAR 07/29

     611,321  
  12,526     

MSM 2005-3AR 3A CSTR 7/35

     11,586  
  150,000     

MUNICIPAL EC AT GA 6.637% 4/57

     192,276  
  2,200,000     

NALT 2017-A A2B 1ML+20 09/19

     2,200,803  

 

48


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  500,000      

NASDAQ INC FRN 3ML+39 3/19

    $ 500,119   
  100,000     

NAVIENT CORP 5.0% 10/20

     101,375  
  516,905     

NAVSL 17-A A1 1193476+.4% 12/5

     517,641  
  7,300,000     

NBC BA 0% 1/05/18

     5,800,625  
  660,000     

NORDEA BK 4.875% 5/13/21 144A

     700,037  
  250,000     

NORTHSTR ED FIN 2007-1 OT

     239,864  
  400,000     

NOVASC BA 0% 1/19/18

     317,912  
  300,000     

NOVASC BA 0% 1/22/18

     238,403  
  1,600,000     

NSLT 2017-3A A 1ML+85 02/66

         1,599,995  
  500,000     

NY&PRSBTN HSP 4.024% 08/01/45

     529,013  
  1,500,000     

OCP2015-8A A1R 3ML+85 4/17/27

     1,500,036  
  100,000     

ONEMAIN FINL 6.75% 12/19 144A

     103,320  
  800,000     

PETROBRAS GL 5.999% 1/28 144A

     802,000  
  370,000     

PFIZER INC 3.4% 5/15/24

     384,130  
  53,000     

PG&E 8.25% 10/15/18

     55,458  
  76,301     

PRIME 2005-2 2A1 CSTR 10/32

     78,209  
  148,389     

RBSGC 2007-B 1A4 1ML+45 1/37

     101,232  
  30,000     

ROGERS COMMUNIC 6.8% 8/15/18

     30,880  
  700,000     

ROYAL BK CANADA BA 0% 1/03/18

     556,352  
  70,000     

ROYAL BK SCOTLND 7.648/VR PERP

     91,350  
  800,000     

ROYAL BK SCTLND 3.875% 9/12/23

     813,428  
  520,000     

ROYAL BK SCTLND 6.4% 10/21/19

     555,549  
  200,000     

ROYALBK BA 0% 1/04/18

     158,945  
  200,000     

ROYALBK BA 0% 1/11/18

     158,999  
  100,000     

ROYALBK BA 0% 1/15/18

     79,480  
  400,000     

ROYALBK BA 0% 1/18/18

     317,890  
  3,700,000     

ROYALBK CP 0% 1/05/18

     2,940,043  
  400,000     

ROYALBK CP 0% 1/08/18

     317,916  
  1,000,000     

SABINE PASS LIQ 5% 03/15/27

     1,072,797  
  119,269     

SACO 2005-WM3 A3 1ML+35 9/35

     118,715  
  198,615     

SAIL 2003-BC11 M1 1ML+65 10/33

     197,916  
  362,133     

SAMI 2006-AR6 1A1 1ML+18 07/46

     331,476  
  330,000     

SANTA CL TRANS TAXM 5.876 4/32

     399,894  
  800,000     

SANTAN 6.25 09/PERP-21 5.125%

     1,052,268  
  664,878     

SARM 2004-4 2A CSTR 04/34

     671,094  
  1,412,454     

SASC 2006-OPT1 A1 1ML+18 04/36

     1,387,911  
  21,505     

SAST 2002-3 M1 1ML+75 12/32

     21,156  

 

49


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  129,871      

SAST 2003-3 M1 1ML+65 12/33

    $ 129,339   
  400,000     

SAUDI ARAB 2.875% 3/4/23 144A

     393,209  
  500,000     

SAUDI ARAB 3.625% 3/4/28 144A

     495,500  
  1,000,000     

SAUDI GOVT 3.25% 10/26/26 RGS

     980,440  
  1,500,000     

SEMPRA ENERGY FRN 3ML+45 03/21

         1,502,310  
  200,000     

SHIRE ACQ INV IRE 2.4% 9/23/21

     196,831  
  300,000     

SHIRE AQ INV IRE 1.9% 9/23/19

     297,252  
  400,000     

SLM CORP MED 4.875% 6/17/19

     406,760  
  100,000     

SLM CORP MEDIUM 8.45% 6/15/18

     102,550  
  300,000     

SLM CORP MTN 8% 3/25/20

     324,375  
  500,000     

SLM CORP MTN BE 5.5% 01/15/19

     508,750  
  293,430     

SLMA 2003-11 A6 3ML+29 12/25

     294,680  
  225,943     

SLMA 2004-3 A5 3ML+17 7/25/23

     225,885  
  250,000     

SLOVENIA REP 5.25% 2/24 REGS

     285,928  
  2,000,000     

SNDPT 2015-1A AR 3ML+86 04/27

     1,999,000  
  400,000     

SNDPT 2015-2A AR 3ML+88 07/27

     399,800  
  600,000     

SOCIETE GEN PERP 8.25% REGS

     627,750  
  400,000     

SOUTHERN PWR 3ML+55 12/20 144A

     400,840  
  21,000     

SOUTHRN NAT GAS 8% 3/01/32

     28,461  
  600,000     

SPECTRA ENERGY PRT 3ML+70 6/20

     604,493  
  300,000     

SPRINGLEAF FIN CRP 8.25% 12/20

     330,000  
  49,000     

TENN GAS PIPELI 7.625% 4/01/37

     63,186  
  1,200,000     

TEXTRON INC FRN 3ML+55 11/20

     1,199,663  
  160,000     

THERMO FISHER 3.6% 8/15/21

     165,139  
  600,000     

TORONTO BA 0% 1/02/18

     476,869  
  1,800,000     

TRAL 2014-3A AR 1ML+103 10/27

     1,799,089  
  541,122     

TSCOLN PRP FIN 7.6227% 7/13/39

     1,002,008  
  240,000     

TVA 5.25% 09/15/39

     325,237  
  467,000     

TVA 5.98% 04/01/36

     657,737  
  650,000     

UBS AG 7.625% 08/22 LT2 COCO

     759,330  
  600,000     

UBS AG FRN 3ML+32 12/7/18 144A

     600,545  
  800,000     

UBS GR FND 3.491% 5/23/23 144A

     812,630  
  600,000     

UBS GROUP FDNG 3% 4/15/21 144A

     604,154  
  4,700,000     

UK,G.B.&N.IRELAND 0% 1/29/18

     6,344,480  
  200,000     

UNITED BUSNS 5.75% 11/20 144A

     207,638  
  370,000     

UNITEDHEALTH GRP 6 2/15/18

     371,825  
  1,250,000     

VENTURE XXI CLO 3ML+88 7/27

     1,250,840  

 

50


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  206,000      

VERIZON 3.376% 02/15/25 144A

    $ 206,730   
  517,000     

VERIZON COM 2.946% 03/15/22

     520,087  
  300,000     

VERIZON COMMUNI 3.125% 3/16/22

     304,135  
  385,048     

WAMU 05-AR15 A1A1 1ML+26 11/45

     381,532  
  317,108     

WAMU 05-AR15 A1A2 1ML+28 11/45

     293,767  
  144,882     

WAMU 05-AR17 A1A2 1ML+29 12/45

     138,932  
  506,157     

WAMU 06-AR14 1A3 CSTR 11/36

     475,004  
  1,603,396     

WAMU 2004-AR10 A1A 1ML+44 7/44

     1,581,282  
  144,301     

WAMU 2004-AR8 A1 1ML+42 6/44

     142,246  
  856,857     

WAMU 2005-AR18 1A3A CSTR 1/36

     866,512  
  234,875     

WAMU 2005-AR7 A4 CSTR 8/35

     243,516  
  53,500     

WAMU 2005-AR8 1A1A 1ML+27 7/45

     52,029  
  130,327     

WAMU 2005-AR9 A1A 1ML+32 7/45

     128,824  
  212,458     

WAMU 2007-HY4 4A1 CSTR 9/36

     199,696  
  262,920     

WFMBS 2006-AR11 A6 CSTR 8/36*

     261,578  
  240,000     

WFRBS 2011-C4 A4 0 6/44*

     256,517  
  1,500,000     

WITEH 2014-9A AR 3ML+116 7/26

     1,507,047  
  1,000,000     

WYNN LAS VEGAS 5.5% 3/25 144A

     1,030,000  
  300,000     

ZCCP 2015-1A A1R 3ML+95 07/27

     300,000  
     

 

 

 

  

 Total Other Fixed Income Securities

    $     193,104,781  
  

 Cash, Cash Equivalents and Other Investments

  
  

 Cash and Cash Equivalents

  
  

CASH

    $ 5,262,392  
  

Cash Collateral

     1,577,009  
  12,126,516     

BBH STIF FUND

     12,126,516  
  9,180,930     

Fidelity Institutional Money Market Portfolio*

     9,180,930  
  1,547,275     

JP MORGAN 100% US TREASURY*

     1,547,275  
  7,942,803     

JPM PRIME MMKT MRGN SHR FD 829*

     7,944,071  
  3,032,679     

JPM TREASURY PLUS MMF AGY SHRS*

     3,032,679  
  145,738     

SSBK STIF FUND*

     145,738  
     

 

 

 

  

 Total Cash and Cash Equivalents

    $ 40,816,610  

 

51


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
  

Swap Contracts

  
  

Credit Default Swaps

  
  3,000,000       

BOAM CDS 91086QAW8 1% 12/20/19

    $ 32,003   
  5,000,000      

CDS CMBX.NA.AAA.9 0.5% 9/58 GS

     8,866  
  5,629,834      

CDS GS CMBX NA AAA6 0.5% 5/63

     33,952  
  1,000,000      

CDS MS CMBX AAA CDSI S7 0.5% 1/17/47

     5,058  
  (4,100,000)     

CDX IG28 5Y 6/20/22 ICE

     778  
  (100,000)     

CDX IG29 5Y ICE 12/20/22

     21  
  500,000      

CS CDS CMBX.NA.BBB-.9 3% 9/58

     (54,833
  (1,800,000)     

DELL INC SNR 12/20/19 GS ICE

     (18
  (500,000)     

GENERAL MTR SNR USD 6/22 ICE

     21  
  300,000      

HSBC CDS BRAZIL LA SP HUS 03/20/18

     542  
  1,000,000      

JP CDS CMBX.NA.AAA.9 SP 0.5 9/17/58

     1,773  
  (800,000)     

SPRINT SNR S 12/20/19 GS ICE

     (3
     

 

 

 

  

 Total Credit Default Swaps

    $ 28,160  
  

 Interest Rate Swaps

 

  (8,200,000)     

BA IRS USD 2Y 1.45% 06/19 CME

    $ (3,309
  7,100,000      

BOA IRS SWAP P1.73 08/26/25

         212,120  
  (6,600,000)     

CME IRS 2.75% 12/16/45

     (21,863
  (1,800,000)     

CS IRS 30YRUSD 2.25% 12/46 CME

     (5,666
  (4,600,000)     

CS IRS USD 10Y 1.75 12/26 CME

     (8,034
  (4,200,000)     

CS IRS USD 10Y 1.75% 12/26 LCH

     (7,868
  (19,900,000)     

CS IRS USD 1Y 1.5% 6/15/19 CME

     (2,687
  (6,500,000)     

CS IRS USD 2Y 1.25% 6/21/17 CME

     (888
  (1,200,000)     

CS IRS USD 30Y 2.5% 6/15/46 CME

     (3,878
  25,100,000      

CS IRS USD 5YR 1.5% 12/21 CME

     16,998  
  (6,800,000)     

INFSWEMNI 1.4425% 10Y 12/26 LCH

     (2,996
  6,800,000      

INFSWPEMNI 1.165% 5Y 12/21 LCH

     2,297  
  (900,000)     

IRS EUR 1% 03-21-18-10Y LCH

     260  
  (900,000)     

IRS GBP 1% 03/21/18 LCH

     (635
  (500,000)     

IRS GBP 1.50% 03-21-18-10YR LCH

     (543
  (5,900,000)     

IRS USD 10YR CME 1.75% 6/21/47

     (17,290
  (17,800,000)     

IRS USD 2YR CME 2% 12/20/19

     (3,617
  (3,200,000)     

LCH IRS 1.75% 12/16/18

     (287
  (20,600,000)     

LCH IRS 2.25% 12/16/22

     (23,866
     

 

 

 

  

 Total Interest Rate Swaps

    $ 128,248  

 

52


Table of Contents

TIME WARNER SAVINGS PLAN

EIN: #13-4099534             Plan: #336

Schedule H, Part IV, Line 4(i) – Schedule of Assets

(Held at End of Year) (continued)

December 31, 2017

 

    Shares or    
Units
  

Description

     Current Value  
     
     

 

 

 

  

 Total Swap Contracts

    $ 156,408  
  

 Option Contracts

  
  

 Interest Rate Option Contracts

  
  (128,000,000)     

EURO$ 90 EDH8 C98.75 03/19/18

    $ (800
  128,000,000      

EURO$ 90 EDH8 P98.25 03/19/18

     16,800  
  2,000,000      

IRO USD 30Y P2.905 8/20/18 MYC

     28,531  
  2,300,000      

IRO USD 30Y P2.9425 12/19 GLM

     88,365  
  (10,100,000)     

IRO USD 5Y P2.75 12/12/19 GLM

     (95,903
  (11,700,000)     

IRO USD 5Y P2.8 08/20/18 MYC

     (21,060
  600,000      

IRO USD PUT 2.94 T 8/20/18 GLM

     7,634  
     

 

 

 

  

 Total Interest Rate Options Contracts

    $ 23,567  
  

 Futures Contracts****

  
  46,000,000      

90DAY EURO$ FUTR DEC18 EDZ8

    $ 1,725  
  29,000,000      

90DAY EURO$ FUTR MAR18 EDH8

     363  
  38,600,000      

US 10YR NOTE (CBT)MAR18 TYH8

     78,406  
  (31,000,000)     

US 2YR NOTE (CBT) MAR18 TUH8

     (9,688
  30,500,000      

US 5YR NOTE(CBT)FUT MAR18 FVH8

     28,594  
  2,400,000      

US LONG BOND(CBT) MAR18 USH8

     6,750  
     

 

 

 

  

 Total Futures Contracts

    $ 106,150  
     

 

 

 

  

 Total Cash, Cash Equivalents and Other Investments

 

    $ 41,102,735  
     

 

 

 

  

 Total Investments Excluding Net Receivables from Participants

    $     5,228,910,739  
     

 

 

 

  

 Notes Receivable from Participants (interest rates from 4.25% to 10.50%

 maturing through January 2033)*

 

     61,788,685  
     

 

 

 

  

 Total Investments

    $ 5,290,699,424  
     

 

 

 

 

      * Indicates party-in-interest to the Plan.
    ** Difference between total synthetic investment contracts per the Schedule of Assets and per the Statement of Net Assets Available for Benefits is due to the presentation of synthetic investments at market value in the Schedule of Assets and contract value in the Statement of Net Assets Available for Benefits. See footnote 7 for reconciliation of this difference.
  *** Represents an adjustment to the value of Synthetic Investment Contracts, which is related to the purchase and sale of certain assets pending settlement at December 31, 2017.
**** Negative “shares or units” represents the notional values of futures contracts with short positions.

 

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SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on their behalf by the undersigned hereunto duly authorized.

 

    TIME WARNER SAVINGS PLAN
Date: June 11, 2018     By:  

/s/ Daniel J. Happer

 
  Name:  Daniel J. Happer
  Member of the Administrative Committee


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EXHIBIT INDEX

 

Exhibit

Number

  

Description

23.1    Consent of Ernst & Young LLP,
Independent Registered Public Accounting Firm