UNITED STATES SECURITIES AND EXCHANGE COMMISSION |
Washington, D.C. 20549 |
FORM 11-K |
(Mark One) |
(X) 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 1-4174 |
A. Full title of the plan: |
The Williams Investment Plus Plan |
B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
The Williams Companies, Inc. |
One Williams Center |
Tulsa, Oklahoma 74172 |
Audited financial statements | ||||
Supplemental schedule | ||||
EX – 23 | ||||
2017 | 2016 | ||||||
Assets: | |||||||
Investments (at fair value) | $ | 1,370,333,954 | $ | 1,201,355,403 | |||
Notes receivable from participants | 22,818,203 | 22,950,039 | |||||
Non-interest bearing cash | 94,938 | 3,906,095 | |||||
Receivables | 882,739 | 2,384,976 | |||||
Due from Fidelity Management Trust Company | - | 204,989 | |||||
Total assets (at fair value) | 1,394,129,834 | 1,230,801,502 | |||||
Liabilities: | |||||||
Accrued liabilities | 1,072,518 | 683,390 | |||||
Total liabilities | 1,072,518 | 683,390 | |||||
Net assets available for benefits | $ | 1,393,057,316 | $ | 1,230,118,112 | |||
Additions to net assets: | |||
Contributions: | |||
Participant | $ | 52,194,758 | |
Employer | 33,652,466 | ||
Rollovers | 7,457,065 | ||
Total contributions | 93,304,289 | ||
Net investment income: | |||
Net increase in fair value of investments | 207,950,200 | ||
Dividends | 11,920,844 | ||
Interest | 130,623 | ||
Total net investment income | 220,001,667 | ||
Interest income on notes receivable from participants | 1,057,840 | ||
Total additions to net assets | 314,363,796 | ||
Deductions from net assets: | |||
Withdrawals | 149,805,423 | ||
Administrative expenses | 2,434,523 | ||
Dividend distributions | 64,799 | ||
Total deductions from net assets | 152,304,745 | ||
Net increase during the year | 162,059,051 | ||
Transfer from Mid-South PACE Savings and Retirement Plan (Note 1) | 880,153 | ||
Net assets available for benefits at beginning of year | 1,230,118,112 | ||
Net assets available for benefits at end of year | $ | 1,393,057,316 | |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
Level 1 | Level 2 | Level 3 | Total | ||||||||||||
2017: | |||||||||||||||
Interest-bearing cash | $ | 3,786,766 | $ | — | $ | — | $ | 3,786,766 | |||||||
Mutual funds | 190,639,612 | — | — | 190,639,612 | |||||||||||
Self-directed brokerage fund | 81,830,238 | 1,870,486 | — | 83,700,724 | |||||||||||
Common stocks | 382,138,686 | 5,191,370 | — | 387,330,056 | |||||||||||
$ | 658,395,302 | $ | 7,061,856 | $ | — | 665,457,158 | |||||||||
Common/collective trusts | 704,876,796 | ||||||||||||||
Total investments at fair value | $ | 1,370,333,954 | |||||||||||||
2016: | |||||||||||||||
Mutual funds | $ | 143,486,703 | $ | — | $ | — | $ | 143,486,703 | |||||||
Self-directed brokerage fund | 73,039,673 | 526,653 | — | 73,566,326 | |||||||||||
Common stocks | 360,929,192 | — | — | 360,929,192 | |||||||||||
$ | 577,455,568 | $ | 526,653 | $ | — | 577,982,221 | |||||||||
Common/collective trusts | 623,373,182 | ||||||||||||||
Total investments at fair value | $ | 1,201,355,403 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
THE WILLIAMS INVESTMENT PLUS PLAN | ||||
NOTES TO FINANCIAL STATEMENTS | ||||
DECEMBER 31, 2017 |
2017 | 2016 | ||||||
Net assets available for benefits per the financial statements | $ | 1,393,057,316 | $ | 1,230,118,112 | |||
Amounts allocated to withdrawing participants | (53,870 | ) | (46,639 | ) | |||
Net assets available for benefits per the Form 5500 | $ | 1,393,003,446 | $ | 1,230,071,473 |
Net increase during the year | $ | 162,059,051 | |
Less: Amounts allocated to withdrawing participants at December 31, 2017 | (53,870 | ) | |
Add: Amounts allocated to withdrawing participants at December 31, 2016 | 46,639 | ||
Net income per Form 5500 | $ | 162,051,820 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
Common/Collective Trusts | ||||||
* | Fidelity | Fidelity Managed Income Portfolio II – 88,206,282 shares | $ | 88,206,282 | ||
* | Fidelity | Fidelity Diversified International Commingled Pool – 5,362,788 shares | 69,930,755 | |||
Prudential | Prudential Core Plus Bond Fund Class 5 – 336,359 shares | 54,315,224 | ||||
Vanguard | Vanguard Target Retirement Income Trust II – 506,258 shares | 17,197,575 | ||||
Vanguard | Vanguard Target Retirement 2015 Trust II – 203,099 shares | 6,588,519 | ||||
Vanguard | Vanguard Target Retirement 2020 Trust II – 3,389,859 shares | 111,594,159 | ||||
Vanguard | Vanguard Target Retirement 2025 Trust II – 1,725,468 shares | 56,767,896 | ||||
Vanguard | Vanguard Target Retirement 2030 Trust II – 3,591,694 shares | 117,340,644 | ||||
Vanguard | Vanguard Target Retirement 2035 Trust II – 741,743 shares | 24,611,049 | ||||
Vanguard | Vanguard Target Retirement 2040 Trust II – 2,337,295 shares | 80,052,360 | ||||
Vanguard | Vanguard Target Retirement 2045 Trust II – 607,108 shares | 20,920,947 | ||||
Vanguard | Vanguard Target Retirement 2050 Trust II – 1,271,429 shares | 44,004,146 | ||||
Vanguard | Vanguard Target Retirement 2055 Trust II – 213,843 shares | 9,913,754 | ||||
Vanguard | Vanguard Target Retirement 2060 Trust II – 93,255 shares | 3,408,470 | ||||
Vanguard | Vanguard Target Retirement 2065 Trust II – 1,113 shares | 25,016 | ||||
704,876,796 | ||||||
Registered Investment Companies | ||||||
PIMCO | PIMCO Real Return Fund Institutional Class – 552,710 shares | 6,112,975 | ||||
* | Fidelity | Fidelity U.S. Bond Index Fund Institutional Class – 877,890 shares | 10,174,741 | |||
Vanguard | Vanguard Extended Market Index Fund Institutional Shares – 263,693 shares | 22,347,973 | ||||
Vanguard | Vanguard Institutional Index Fund Institutional Shares – 560,514 shares | 136,462,730 | ||||
Vanguard | Vanguard Total International Stock Index Fund Institutional Shares – 127,347 shares | 15,540,105 | ||||
190,638,524 | ||||||
Common Stock | ||||||
Chesapeake Energy Co. | Common stock – 481,654 shares | 1,907,349 | ||||
* | The Williams Companies, Inc. | Common stock – 354,249 shares | 10,803,814 | |||
12,711,163 | ||||||
Investments held in Separately Managed Accounts | ||||||
Macquarie U.S. Large Cap Value Equity Portfolio: | ||||||
Interest-bearing Cash: | ||||||
BROWN BROTHERS HARRIMAN | Short-term investment fund – 741,392 units | 741,392 | ||||
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
Common Stock: | ||||||
ABBOTT LABORATORIES | Common stock – 36,153 shares | 2,063,252 | ||||
ALLSTATE CORPORATION | Common stock – 19,358 shares | 2,026,976 | ||||
ARCHER DANIELS MIDLAND CO | Common stock – 46,315 shares | 1,856,305 | ||||
AT&T INC | Common stock – 52,082 shares | 2,024,948 | ||||
BANK OF NEW YORK MELLON CORP | Common stock – 37,396 shares | 2,014,148 | ||||
BB&T CORP | Common stock – 41,700 shares | 2,073,324 | ||||
CA INC | Common stock – 59,450 shares | 1,978,496 | ||||
CARDINAL HEALTH INC | Common stock – 29,320 shares | 1,796,436 | ||||
CHEVRON CORP | Common stock – 17,009 shares | 2,129,357 | ||||
CISCO SYSTEMS INC | Common stock – 56,046 shares | 2,146,562 | ||||
CONOCOPHILLIPS | Common stock – 41,397 shares | 2,272,281 | ||||
CVS HEALTH CORP | Common stock – 25,584 shares | 1,854,840 | ||||
DOLLAR TREE INC | Common stock – 20,000 shares | 2,146,200 | ||||
DOWDUPONT INC | Common stock – 26,756 shares | 1,905,562 | ||||
EDISON INTL | Common stock – 24,761 shares | 1,565,886 | ||||
EQUITY RESIDENTIAL REIT | Common stock – 28,689 shares | 1,829,497 | ||||
EXPRESS SCRIPTS HLDG CO | Common stock – 31,600 shares | 2,358,624 | ||||
HALLIBURTON CO | Common stock – 44,411 shares | 2,170,366 | ||||
INTEL CORP | Common stock – 45,634 shares | 2,106,465 | ||||
JOHNSON & JOHNSON | Common stock – 14,718 shares | 2,056,399 | ||||
LOWES COS INC | Common stock – 25,214 shares | 2,343,389 | ||||
MARATHON OIL CORP | Common stock – 138,520 shares | 2,345,144 | ||||
MARSH & MCLENNAN COS INC | Common stock – 24,575 shares | 2,000,159 | ||||
MERCK & CO INC NEW | Common stock – 31,849 shares | 1,792,143 | ||||
MONDELEZ INTERNATIONAL INC | Common stock – 46,102 shares | 1,973,166 | ||||
NORTHROP GRUMMAN CORP | Common stock – 6,893 shares | 2,115,531 | ||||
OCCIDENTAL PETROLEUM CORP | Common stock – 31,100 shares | 2,290,826 | ||||
ORACLE CORP | Common stock – 38,238 shares | 1,807,893 | ||||
PFIZER INC | Common stock – 55,798 shares | 2,021,004 | ||||
QUEST DIAGNOSTICS INC | Common stock – 19,312 shares | 1,902,039 | ||||
RAYTHEON CO | Common stock – 10,609 shares | 1,992,901 | ||||
VERIZON COMMUNICATIONS INC | Common stock – 40,822 shares | 2,160,708 | ||||
WASTE MANAGEMENT INC | Common stock – 24,052 shares | 2,075,688 | ||||
LSV U.S. Small/Mid Cap Value Equity Portfolio: | ||||||
Interest-bearing Cash: | ||||||
BROWN BROTHERS HARRIMAN | Short-term investment fund – 225,069 units | 225,069 | ||||
Common Stock: |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
AARONS INC A | Common stock – 5,100 shares | 203,235 | ||||
ADTALEM GLOBAL EDUCATION INC | Common stock – 6,200 shares | 260,710 | ||||
AIR LEASE CORP CL A | Common stock – 9,100 shares | 437,619 | ||||
ALLISON TRANSMISSION HLDGS INC | Common stock – 6,200 shares | 267,034 | ||||
AMC NETWORKS INC CL A | Common stock – 2,800 shares | 151,424 | ||||
AMERICAN FINL GROUP INC OHIO | Common stock – 2,000 shares | 217,080 | ||||
AMN HEALTHCARE SERVICES INC | Common stock – 2,500 shares | 123,125 | ||||
ARROW ELECTRONICS INC | Common stock – 4,700 shares | 377,927 | ||||
ASHFORD HOSPITALITY PRIME INC | Common stock – 11,700 shares | 113,841 | ||||
ASSURED GUARANTY LTD | Common stock – 7,600 shares | 257,412 | ||||
AXIS CAPITAL HOLDINGS LTD | Common stock – 5,500 shares | 276,430 | ||||
BANCO LATINOAMERICANO DE COMER | Common stock – 13,100 shares | 352,390 | ||||
BANKUNITED INC | Common stock – 7,100 shares | 289,112 | ||||
BEAZER HOMES USA INC | Common stock – 15,200 shares | 291,992 | ||||
BED BATH & BEYOND INC | Common stock – 5,400 shares | 118,746 | ||||
BERKSHIRE HILLS BANCORP INC | Common stock – 7,400 shares | 270,840 | ||||
BIG 5 SPORTING GOODS CORP | Common stock – 7,800 shares | 59,280 | ||||
BLOCK H & R INC | Common stock – 7,300 shares | 191,406 | ||||
BLOOMIN BRANDS INC | Common stock – 9,700 shares | 206,998 | ||||
BORGWARNER INC | Common stock – 4,600 shares | 235,014 | ||||
BUNGE LIMITED | Common stock – 2,500 shares | 167,700 | ||||
C N A FINANCIAL CORP | Common stock – 10,700 shares | 567,635 | ||||
CABOT CORP | Common stock – 2,900 shares | 178,611 | ||||
CAMDEN NATIONAL CORP | Common stock – 7,300 shares | 307,549 | ||||
CENTENE CORP | Common stock – 2,100 shares | 211,848 | ||||
CHATHAM LODGING TRUST | Common stock – 11,400 shares | 259,464 | ||||
CIRRUS LOGIC INC | Common stock – 5,800 shares | 300,788 | ||||
CIT GROUP INC | Common stock – 6,400 shares | 315,072 | ||||
CITY OFFICE REIT INC | Common stock – 18,400 shares | 239,384 | ||||
CNO FINANCIAL GROUP INC | Common stock – 16,200 shares | 399,978 | ||||
COMMUNITY TRUST BANCORP INC | Common stock – 3,200 shares | 150,720 | ||||
CONVERGYS CORP | Common stock – 14,400 shares | 338,400 | ||||
COOPER STANDARD HOLDING INC | Common stock – 2,200 shares | 269,500 | ||||
CORENERGY INFRASTR TR INC | Common stock – 4,800 shares | 183,360 | ||||
CROWN HOLDINGS INC | Common stock – 2,400 shares | 135,000 | ||||
CUSTOMERS BANCORP INC | Common stock – 7,500 shares | 194,925 | ||||
DANA INC | Common stock – 8,800 shares | 281,688 | ||||
DDR CORP | Common stock – 18,500 shares | 165,760 | ||||
DELUXE CORP | Common stock – 4,300 shares | 330,412 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
DILLARDS INC CL A | Common stock – 2,900 shares | 174,145 | ||||
DIME COMMUNITY BANCSHARES INC | Common stock – 16,200 shares | 339,390 | ||||
DOMTAR CORP | Common stock – 7,600 shares | 376,352 | ||||
EASTMAN CHEMICAL CO | Common stock – 5,900 shares | 546,576 | ||||
ENCOMPASS HEALTH CORP | Common stock – 6,300 shares | 311,283 | ||||
ENERGIZER HLDGS INC | Common stock – 6,200 shares | 297,476 | ||||
ENTERGY CORP | Common stock – 4,700 shares | 382,533 | ||||
F5 NETWORKS INC | Common stock – 1,800 shares | 236,196 | ||||
FEDERAL AGRI MTG NON VTG CL C | Common stock – 4,200 shares | 328,608 | ||||
FINANCIAL INSTITUTIONS INC | Common stock – 5,000 shares | 155,500 | ||||
FIRST AMERICAN FINANCIAL CORP | Common stock – 6,400 shares | 358,656 | ||||
FIRST DEFIANCE FINL CORP | Common stock – 5,000 shares | 259,850 | ||||
FIRSTENERGY CORP | Common stock – 15,100 shares | 462,362 | ||||
FLEX LTD | Common stock – 17,200 shares | 309,428 | ||||
FRANKLIN STREET PPTYS CORP | Common stock – 9,800 shares | 105,252 | ||||
GATX CORP | Common stock – 4,600 shares | 285,936 | ||||
GLOBAL BRASS &COPPER HLDGS INC | Common stock – 7,700 shares | 254,870 | ||||
GOODYEAR TIRE & RUBBER CO | Common stock – 10,000 shares | 323,100 | ||||
GOVERNMENT PPTYS INCOME TRUST | Common stock – 12,600 shares | 233,604 | ||||
GREAT SOUTHERN BANCORP INC | Common stock – 4,500 shares | 232,425 | ||||
HANMI FINANCIAL CORPORATION | Common stock – 4,900 shares | 148,715 | ||||
HAVERTY FURNITURE COS INC | Common stock – 8,200 shares | 185,730 | ||||
HAWAIIAN HLDGS INC | Common stock – 5,900 shares | 235,115 | ||||
HEARTLAND FINANCIAL USA INC | Common stock – 5,700 shares | 305,805 | ||||
HOSPITALITY PROPERTY TR REIT | Common stock – 13,500 shares | 402,975 | ||||
HUNTSMAN CORP | Common stock – 20,200 shares | 672,458 | ||||
INDEPENDENCE REALTY TR INC | Common stock – 21,400 shares | 215,926 | ||||
INTEGER HOLDINGS CORP | Common stock – 3,400 shares | 154,020 | ||||
ITT INC | Common stock – 6,800 shares | 362,916 | ||||
JABIL INC | Common stock – 13,400 shares | 351,750 | ||||
JERNIGAN CAPITAL INC | Common stock – 7,300 shares | 138,773 | ||||
JETBLUE AIRWAYS CORP | Common stock – 13,500 shares | 301,590 | ||||
JUNIPER NETWORKS INC | Common stock – 11,700 shares | 333,450 | ||||
KELLY SERVICES INC CL A | Common stock – 6,500 shares | 177,255 | ||||
KOHLS CORP | Common stock – 5,300 shares | 287,419 | ||||
KRATON CORP | Common stock – 5,300 shares | 255,301 | ||||
LANNETT INC | Common stock – 6,900 shares | 160,080 | ||||
LAZARD LTD CL A | Common stock – 7,900 shares | 414,750 | ||||
LEAR CORP NEW | Common stock – 2,100 shares | 370,986 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
LEGG MASON INC | Common stock – 6,400 shares | 268,672 | ||||
LEXINGTON REALTY TRUST REIT | Common stock – 24,900 shares | 240,285 | ||||
LIFEPOINT HEALTH INC | Common stock – 6,800 shares | 338,640 | ||||
MACK CALI REALTY CORP REIT | Common stock – 8,200 shares | 176,792 | ||||
MAIDEN HLDGS LTD | Common stock – 18,600 shares | 122,760 | ||||
MALLINCKRODT PLC | Common stock – 7,900 shares | 178,224 | ||||
MANPOWERGROUP INC | Common stock – 4,400 shares | 554,884 | ||||
MCDERMOTT INTL INC | Common stock – 42,000 shares | 276,360 | ||||
MEDICAL PPTY TR INC | Common stock – 22,100 shares | 304,538 | ||||
MERITOR INC | Common stock – 18,000 shares | 422,280 | ||||
MGIC INVESTMENT CORP | Common stock – 30,100 shares | 424,711 | ||||
MICHAEL KORS HOLDINGS LTD | Common stock – 5,200 shares | 327,340 | ||||
MILLER HERMAN INC | Common stock – 9,800 shares | 392,490 | ||||
MURPHY OIL CORP | Common stock – 6,800 shares | 211,140 | ||||
MURPHY USA INC | Common stock – 2,900 shares | 233,044 | ||||
NAVIENT CORP | Common stock – 16,900 shares | 225,108 | ||||
NCR CORP | Common stock – 6,500 shares | 220,935 | ||||
NELNET INC CL A | Common stock – 3,000 shares | 164,340 | ||||
NETGEAR INC | Common stock – 3,700 shares | 217,375 | ||||
NEW MOUNTAIN FINANCE CORP | Common stock – 16,800 shares | 227,640 | ||||
NEWTEK BUSINESS SERVICES CORP | Common stock – 9,100 shares | 168,259 | ||||
OFFICE DEPOT INC | Common stock – 41,700 shares | 147,618 | ||||
OMEGA HEALTHCARE INVESTORS INC | Common stock – 10,100 shares | 278,154 | ||||
ON SEMICONDUCTOR CORP | Common stock – 21,900 shares | 458,586 | ||||
OWENS AND MINOR INC | Common stock – 9,100 shares | 171,808 | ||||
OWENS CORNING INC | Common stock – 6,700 shares | 615,998 | ||||
OWENS ILLINOIS INC | Common stock – 14,200 shares | 314,814 | ||||
PACKAGING CORP OF AMERICA | Common stock – 1,200 shares | 144,660 | ||||
PBF ENERGY INC CL A | Common stock – 5,500 shares | 194,975 | ||||
PENNANTPARK INVESTMENT CORP | Common stock – 23,300 shares | 161,003 | ||||
PENSKE AUTOMOTIVE GROUP INC | Common stock – 4,300 shares | 205,755 | ||||
PIEDMONT OFFICE REALTY TRUST A | Common stock – 9,900 shares | 194,139 | ||||
PROSPECT CAPITAL CORP FD | Common stock – 27,200 shares | 183,328 | ||||
PULTEGROUP INC | Common stock – 6,300 shares | 209,475 | ||||
RADIAN GROUP INC | Common stock – 12,000 shares | 247,320 | ||||
REGIONAL MANAGEMENT CORP | Common stock – 6,500 shares | 171,015 | ||||
REINSURANCE GROUP OF AMERICA | Common stock – 2,800 shares | 436,604 | ||||
SABRA HEALTHCARE REIT INC | Common stock – 17,079 shares | 320,573 | ||||
SANDERSON FARMS INC | Common stock – 3,000 shares | 416,340 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
SANMINA CORP | Common stock – 7,900 shares | 260,700 | ||||
SCANA CORP | Common stock – 3,400 shares | 135,252 | ||||
SCANSOURCE INC | Common stock – 7,200 shares | 257,760 | ||||
SCRIPPS NETWORK INTER CL A | Common stock – 3,800 shares | 324,444 | ||||
SELECT INCOME REIT | Common stock – 15,100 shares | 379,463 | ||||
SONIC AUTOMOTIVE INC CL A | Common stock – 10,100 shares | 186,345 | ||||
SPIRIT AEROSYSTEM HLD INC CL A | Common stock – 7,300 shares | 636,925 | ||||
STEELCASE INC CLASS A | Common stock – 18,600 shares | 282,720 | ||||
STONERIDGE INC | Common stock – 7,900 shares | 180,594 | ||||
SUCAMPO PHARMACEUTICALS INC | Common stock – 9,400 shares | 168,730 | ||||
SYNAPTICS INC | Common stock – 2,700 shares | 107,838 | ||||
TCF FINANCIAL CORPORATION | Common stock – 21,000 shares | 430,500 | ||||
THE CHILDRENS PLACE INC | Common stock – 1,500 shares | 218,025 | ||||
TOWER INTERNATIONAL INC | Common stock – 8,400 shares | 256,620 | ||||
TRINSEO SA | Common stock – 6,000 shares | 435,600 | ||||
TRIUMPH GROUP INC | Common stock – 5,600 shares | 152,320 | ||||
TTM TECHNOLOGIES INC | Common stock – 17,700 shares | 277,359 | ||||
TUTOR PERINI CORP | Common stock – 8,100 shares | 205,335 | ||||
UNITED RENTALS INC | Common stock – 2,400 shares | 412,584 | ||||
UNITED STATES STEEL CORP | Common stock – 4,600 shares | 161,874 | ||||
UNITED THERAPEUTICS CORP DEL | Common stock – 1,600 shares | 236,720 | ||||
UNUM GROUP | Common stock – 9,300 shares | 510,477 | ||||
VEREIT INC | Common stock – 19,500 shares | 151,905 | ||||
VILLAGE SUPER MKT INC CL A NEW | Common stock – 6,700 shares | 153,631 | ||||
VISHAY INTERTECHNOLOGY INC | Common stock – 16,100 shares | 334,075 | ||||
VISHAY PRECISION GROUP INC | Common stock – 4,800 shares | 120,720 | ||||
VOYA FINANCIAL INC | Common stock – 5,900 shares | 291,873 | ||||
WABASH NATIONAL CORP | Common stock – 12,600 shares | 273,420 | ||||
WALKER & DUNLOP INC | Common stock – 3,800 shares | 180,500 | ||||
WASHINGTON PRIME GROUP INC | Common stock – 42,200 shares | 300,464 | ||||
WEIS MARKETS INC | Common stock – 900 shares | 37,251 | ||||
WILLIAMS-SONOMA INC | Common stock – 3,900 shares | 201,630 | ||||
WORLD FUEL SERVICES CORP | Common stock – 5,200 shares | 146,328 | ||||
WYNDHAM WORLDWIDE CORP | Common stock – 3,700 shares | 428,719 | ||||
XEROX CORP | Common stock – 8,825 shares | 257,249 | ||||
ZIONS BANCORP | Common stock – 5,200 shares | 264,316 | ||||
T. Rowe Price U.S. Large-Cap Core Growth Equity Portfolio: | ||||||
Interest-bearing Cash: |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
BROWN BROTHERS HARRIMAN | Short-term investment fund – 908,666 units | 908,666 | ||||
Registered Investment Company: | ||||||
T ROWE PRICE | T Rowe Price Government Reserve Fund - 1,088 units | 1,088 | ||||
Common Stock: | ||||||
ACTIVISION BLIZZARD INC | Common stock – 6,100 shares | 386,252 | ||||
AETNA INC | Common stock – 10,800 shares | 1,948,212 | ||||
AGILENT TECHNOLOGIES INC | Common stock – 1,700 shares | 113,849 | ||||
ALASKA AIR GROUP INC | Common stock – 14,800 shares | 1,087,948 | ||||
ALEXION PHARMACEUTICALS INC | Common stock – 18,054 shares | 2,159,078 | ||||
ALIBABA GROUP HLD LTD SPON ADR | Common stock – 46,100 shares | 7,949,023 | ||||
ALLERGAN PLC | Common stock – 100 shares | 16,358 | ||||
ALPHABET INC CL A | Common stock – 3,890 shares | 4,097,726 | ||||
ALPHABET INC CL C | Common stock – 8,970 shares | 9,386,208 | ||||
AMAZON.COM INC | Common stock – 16,261 shares | 19,016,752 | ||||
AMERICAN AIRLINES GROUP INC | Common stock – 66,800 shares | 3,475,604 | ||||
AMERICAN EXPRESS CO | Common stock – 200 shares | 19,862 | ||||
AMERICAN TOWER CORP | Common stock – 12,762 shares | 1,820,755 | ||||
AMERIPRISE FINANCIAL INC | Common stock – 2,486 shares | 421,302 | ||||
ANALOG DEVICES INC | Common stock – 100 shares | 8,903 | ||||
ANTHEM INC | Common stock – 5,382 shares | 1,211,004 | ||||
APPLE INC | Common stock – 27,700 shares | 4,687,671 | ||||
APTIV PLC | Common stock – 4,100 shares | 347,803 | ||||
ASML HLDG NV (NY REG SHS) NEW | Common stock – 1,100 shares | 191,202 | ||||
BALL CORP | Common stock – 942 shares | 35,655 | ||||
BANK OF NEW YORK MELLON CORP | Common stock – 3,200 shares | 172,352 | ||||
BECTON DICKINSON & CO | Common stock – 15,488 shares | 3,315,361 | ||||
BIOGEN INC | Common stock – 5,332 shares | 1,698,615 | ||||
BOEING CO | Common stock – 21,100 shares | 6,222,601 | ||||
BROADCOM LTD | Common stock – 8,100 shares | 2,080,890 | ||||
CANADIAN PAC RAILWAY LTD | Common stock – 500 shares | 91,380 | ||||
CANADIAN PACIFIC RAIL LTD (US) | Common stock – 2,000 shares | 365,520 | ||||
CELGENE CORP | Common stock – 4,628 shares | 482,978 | ||||
CHUBB LTD | Common stock – 1,000 shares | 146,130 | ||||
CIGNA CORP | Common stock – 12,100 shares | 2,457,389 | ||||
CINTAS CORP | Common stock – 2,200 shares | 342,826 | ||||
CITIGROUP INC | Common stock – 3,000 shares | 223,230 | ||||
CONSTELLATION BRANDS INC CL A | Common stock – 2,000 shares | 457,140 | ||||
COSTAR GROUP INC | Common stock – 400 shares | 118,780 | ||||
COSTCO WHOLESALE CORP | Common stock – 200 shares | 37,224 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
CSX CORP | Common stock – 3,900 shares | 214,539 | ||||
CTRIP.COM INTL LTD ADR | Common stock – 11,600 shares | 511,560 | ||||
DANAHER CORP | Common stock – 27,000 shares | 2,506,140 | ||||
DELTA AIR INC | Common stock – 13,000 shares | 728,000 | ||||
DOLLAR GENERAL CORP | Common stock – 11,900 shares | 1,106,819 | ||||
DOWDUPONT INC | Common stock – 2,256 shares | 160,672 | ||||
ELECTRONIC ARTS INC | Common stock – 10,200 shares | 1,071,612 | ||||
EQUINIX INC | Common stock – 1,405 shares | 636,774 | ||||
FACEBOOK INC A | Common stock – 64,200 shares | 11,328,732 | ||||
FEDEX CORP | Common stock – 300 shares | 74,862 | ||||
FERRARI NV | Common stock – 5,400 shares | 566,136 | ||||
FIDELITY NATL INFORM SVCS INC | Common stock – 10,700 shares | 1,006,763 | ||||
FIRST REPUBLIC BANK | Common stock – 286 shares | 24,779 | ||||
FISERV INC | Common stock – 14,000 shares | 1,835,820 | ||||
FLEETCOR TECHNOLOGIES INC | Common stock – 3,500 shares | 673,505 | ||||
FORTIVE CORP | Common stock – 18,700 shares | 1,352,945 | ||||
GLOBAL PAYMENTS INC | Common stock – 14,900 shares | 1,493,576 | ||||
HARRIS CORP | Common stock – 3,300 shares | 467,445 | ||||
HILTON INC | Common stock – 8,900 shares | 710,754 | ||||
HOME DEPOT INC | Common stock – 11,500 shares | 2,179,595 | ||||
HONEYWELL INTL INC | Common stock – 11,000 shares | 1,686,960 | ||||
HUMANA INC | Common stock – 5,400 shares | 1,339,578 | ||||
IHS MARKIT LTD | Common stock – 600 shares | 27,090 | ||||
ILLUMINA INC | Common stock – 283 shares | 61,833 | ||||
INCYTE CORP | Common stock – 1,600 shares | 151,536 | ||||
INTERCONTINENTAL EXCHANGE INC | Common stock – 31,267 shares | 2,206,199 | ||||
INTUIT INC | Common stock – 13,822 shares | 2,180,835 | ||||
INTUITIVE SURGICAL INC | Common stock – 8,004 shares | 2,920,980 | ||||
JPMORGAN CHASE & CO | Common stock – 14,587 shares | 1,559,934 | ||||
LAM RESEARCH CORP | Common stock – 600 shares | 110,442 | ||||
LOWES COS INC | Common stock – 800 shares | 74,352 | ||||
MARRIOTT INTERNATIONAL INC A | Common stock – 18,300 shares | 2,483,859 | ||||
MARSH & MCLENNAN COS INC | Common stock – 4,500 shares | 366,255 | ||||
MASTERCARD INC CL A | Common stock – 37,400 shares | 5,660,864 | ||||
MCDONALDS CORP | Common stock – 6,300 shares | 1,084,356 | ||||
MERCK & CO INC NEW | Common stock – 400 shares | 22,508 | ||||
MGM RESORTS INTERNATIONAL | Common stock – 400 shares | 13,356 | ||||
MICROCHIP TECHNOLOGY | Common stock – 6,900 shares | 606,372 | ||||
MICROSOFT CORP | Common stock – 113,600 shares | 9,717,344 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
MONSTER BEVERAGE CORP | Common stock – 2,100 shares | 132,909 | ||||
MORGAN STANLEY | Common stock – 93,600 shares | 4,911,192 | ||||
NETFLIX INC | Common stock – 10,500 shares | 2,015,580 | ||||
NEXTERA ENERGY | Common stock – 1,500 shares | 234,285 | ||||
NORTHROP GRUMMAN CORP | Common stock – 1,700 shares | 521,747 | ||||
NORWEGIAN CRUISE LINE HLGS LTD | Common stock – 2,700 shares | 143,775 | ||||
O'REILLY AUTOMOTIVE INC | Common stock – 182 shares | 43,778 | ||||
PAYPAL HLDGS INC | Common stock – 39,200 shares | 2,885,904 | ||||
PHILIP MORRIS INTL INC | Common stock – 7,500 shares | 792,375 | ||||
PROGRESSIVE CORP OHIO | Common stock – 6,800 shares | 382,976 | ||||
RAYTHEON CO | Common stock – 200 shares | 37,570 | ||||
RED HAT INC | Common stock – 12,800 shares | 1,537,280 | ||||
REGENERON PHARMACEUTICALS INC | Common stock – 100 shares | 37,596 | ||||
ROPER TECHNOLOGIES INC | Common stock – 4,800 shares | 1,243,200 | ||||
ROSS STORES INC | Common stock – 22,002 shares | 1,765,660 | ||||
ROYAL CARIBBEAN CRUISES LTD | Common stock – 9,400 shares | 1,121,232 | ||||
S&P GLOBAL INC | Common stock – 3,600 shares | 609,840 | ||||
SALESFORCE.COM INC | Common stock – 36,700 shares | 3,751,841 | ||||
SBA COMMUNICATIONS CORP | Common stock – 500 shares | 81,680 | ||||
SCHWAB CHARLES CORP | Common stock – 16,593 shares | 852,382 | ||||
SEMPRA ENERGY | Common stock – 1,600 shares | 171,072 | ||||
SERVICENOW INC | Common stock – 24,400 shares | 3,181,516 | ||||
SHERWIN WILLIAMS CO | Common stock – 2,800 shares | 1,148,112 | ||||
SHIRE PLC SPON ADR | Common stock – 200 shares | 31,024 | ||||
STANLEY BLACK & DECKER INC | Common stock – 4,900 shares | 831,481 | ||||
STARBUCKS CORP | Common stock – 900 shares | 51,687 | ||||
STATE STREET CORP | Common stock – 18,600 shares | 1,815,546 | ||||
STRYKER CORP | Common stock – 20,900 shares | 3,236,156 | ||||
SYMANTEC CORP | Common stock – 11,200 shares | 314,272 | ||||
TAPESTRY INC | Common stock – 1,100 shares | 48,653 | ||||
TD AMERITRADE HOLDING CORP | Common stock – 62,736 shares | 3,207,692 | ||||
TENCENT HOLDINGS LTD | Common stock – 99,900 shares | 5,191,370 | ||||
TESLA INC | Common stock – 4,153 shares | 1,293,037 | ||||
TEXAS INSTRUMENTS INC | Common stock – 6,487 shares | 677,502 | ||||
TEXTRON INC | Common stock – 400 shares | 22,636 | ||||
THE BOOKING HOLDINGS INC | Common stock – 4,420 shares | 7,680,811 | ||||
THERMO FISHER SCIENTIFIC INC | Common stock – 11,667 shares | 2,215,330 | ||||
TJX COMPANIES INC NEW | Common stock – 600 shares | 45,876 | ||||
ULTA BEAUTY INC | Common stock – 200 shares | 44,732 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
UNION PACIFIC CORP | Common stock – 447 shares | 59,943 | ||||
UNITED CONTINENTAL HLDGS INC | Common stock – 2,500 shares | 168,500 | ||||
UNITEDHEALTH GROUP INC | Common stock – 27,300 shares | 6,018,558 | ||||
VERTEX PHARMACEUTICALS INC | Common stock – 22,100 shares | 3,311,906 | ||||
VISA INC CL A | Common stock – 61,311 shares | 6,990,680 | ||||
VMWARE INC CL A | Common stock – 3,300 shares | 413,556 | ||||
WILLIS TOWERS WATSON PLC | Common stock – 10,400 shares | 1,567,176 | ||||
WORKDAY INC CL A | Common stock – 10,620 shares | 1,080,479 | ||||
WORLDPAY INC | Common stock – 6,500 shares | 478,075 | ||||
XILINX INC | Common stock – 1,086 shares | 73,218 | ||||
YUM BRANDS INC | Common stock – 24,351 shares | 1,987,285 | ||||
ZOETIS INC CL A | Common stock – 2,800 shares | 201,712 | ||||
William Blair U.S. Small/Mid Cap Growth Equity Portfolio: | ||||||
Interest-bearing Cash: | ||||||
BROWN BROTHERS HARRIMAN | Short-term investment fund – 1,911,639 units | 1,911,639 | ||||
Common Stock: | ||||||
2U INC | Common stock – 11,975 shares | 772,507 | ||||
ABIOMED INC | Common stock – 4,424 shares | 829,102 | ||||
ADTALEM GLOBAL EDUCATION INC | Common stock – 20,306 shares | 853,867 | ||||
AFFILIATED MANAGERS GRP INC | Common stock – 3,304 shares | 678,146 | ||||
ARISTA NETWORKS INC | Common stock – 2,650 shares | 624,287 | ||||
AXALTA COATING SYSTEMS LTD | Common stock – 18,045 shares | 583,936 | ||||
BALL CORP | Common stock – 26,865 shares | 1,016,840 | ||||
BANK OF THE OZARKS INC | Common stock – 20,280 shares | 982,566 | ||||
BOOZ ALLEN HAMILTON HLDG CL A | Common stock – 27,487 shares | 1,048,079 | ||||
BWX TECHNOLOGIES INC | Common stock – 25,460 shares | 1,540,075 | ||||
CABLE ONE INC W/I | Common stock – 440 shares | 309,474 | ||||
CAMBREX CORP | Common stock – 14,384 shares | 690,432 | ||||
CARRIZO OIL & GAS INC | Common stock – 8,911 shares | 189,626 | ||||
CBOE GLOBAL MARKETS INC | Common stock – 6,229 shares | 776,071 | ||||
CELANESE CORP SER A | Common stock – 8,582 shares | 918,961 | ||||
CHARLES RIVER LABS INTL INC | Common stock – 7,679 shares | 840,467 | ||||
COHERENT INC | Common stock – 2,004 shares | 565,569 | ||||
COLLIERS INTL GROUP INC (US) | Common stock – 6,157 shares | 371,575 | ||||
COPART INC | Common stock – 40,287 shares | 1,739,996 | ||||
COSTAR GROUP INC | Common stock – 4,854 shares | 1,441,395 | ||||
CSRA INC | Common stock – 16,602 shares | 496,732 | ||||
DEXCOM INC | Common stock – 10,993 shares | 630,888 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
DIAMONDBACK ENERGY INC | Common stock – 5,635 shares | 711,419 | ||||
DOMINOS PIZZA INC | Common stock – 6,483 shares | 1,225,028 | ||||
DUN & BRADSTREET CORP DEL NEW | Common stock – 3,856 shares | 456,589 | ||||
EAST WEST BANCORP INC | Common stock – 6,788 shares | 412,914 | ||||
ENCOMPASS HEALTH CORP | Common stock – 15,945 shares | 787,842 | ||||
ENCORE CAP GROUP INC | Common stock – 14,308 shares | 602,367 | ||||
EURONET WORLDWIDE INC | Common stock – 7,711 shares | 649,806 | ||||
EXACT SCIENCES CORP | Common stock – 9,654 shares | 507,221 | ||||
FIRSTCASH INC | Common stock – 10,910 shares | 735,879 | ||||
FIRSTSERVICE CORP (US) | Common stock – 7,761 shares | 542,649 | ||||
GLAUKOS CORP | Common stock – 11,424 shares | 293,026 | ||||
GRAND CANYON EDUCATION INC | Common stock – 10,343 shares | 926,009 | ||||
GUIDEWIRE SOFTWARE INC | Common stock – 13,397 shares | 994,861 | ||||
HEICO CORP CL A | Common stock – 10,156 shares | 802,832 | ||||
HEXCEL CORPORATION | Common stock – 12,814 shares | 792,546 | ||||
HILTON GRAND VACATIONS INC | Common stock – 18,873 shares | 791,722 | ||||
HORIZON PHARMA PLC | Common stock – 52,699 shares | 769,405 | ||||
IDEXX LABS INC | Common stock – 3,531 shares | 552,178 | ||||
J2 GLOBAL INC | Common stock – 6,779 shares | 508,628 | ||||
JONES LANG LASALLE INC | Common stock – 4,957 shares | 738,246 | ||||
LIGAND PHARMACEUTICALS | Common stock – 7,403 shares | 1,013,693 | ||||
LIVE NATION ENTERTAINMENT INC | Common stock – 18,637 shares | 793,377 | ||||
MARTIN MARIETTA MATERIALS INC | Common stock – 5,098 shares | 1,126,862 | ||||
MAXIMUS INC | Common stock – 12,712 shares | 909,925 | ||||
MAXLINEAR INC | Common stock – 22,910 shares | 605,282 | ||||
MICHAELS COS INC | Common stock – 34,735 shares | 840,240 | ||||
MIDDLEBY CORP | Common stock – 7,857 shares | 1,060,302 | ||||
NATIONAL INSTRUMENT CORP | Common stock – 13,909 shares | 579,032 | ||||
NICE LTD SPON ADR | Common stock – 4,660 shares | 428,301 | ||||
NU SKIN ENTERPRISES INC CL A | Common stock – 4,772 shares | 325,594 | ||||
OM ASSET MANAGEMENT PLC | Common stock – 22,998 shares | 385,216 | ||||
REPLIGEN | Common stock – 10,500 shares | 380,940 | ||||
ROGERS CORP | Common stock – 6,252 shares | 1,012,324 | ||||
SITEONE LANDSCAPE SUPPLY INC | Common stock – 8,158 shares | 625,719 | ||||
SIX FLAGS ENTERTAINMENT CORP | Common stock – 19,006 shares | 1,265,229 | ||||
TAKE-TWO INTERACTV SOFTWR INC | Common stock – 7,917 shares | 869,128 | ||||
TELEDYNE TECHNOLOGIES INC | Common stock – 4,424 shares | 801,408 | ||||
TORO CO | Common stock – 6,217 shares | 405,535 | ||||
TRACTOR SUPPLY CO. | Common stock – 8,706 shares | 650,773 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost** | (e) Current value | ||
TRANSUNION | Common stock – 15,979 shares | 878,206 | ||||
UNIVERSAL ELECTRONICS INC | Common stock – 9,951 shares | 470,185 | ||||
VAIL RESORTS INC | Common stock – 2,502 shares | 531,600 | ||||
VEEVA SYS INC CL A | Common stock – 12,196 shares | 674,195 | ||||
VIRTU FINANCIAL INC CL A | Common stock – 21,192 shares | 387,814 | ||||
WEST PHARMACEUTICAL SVCS INC | Common stock – 5,818 shares | 574,062 | ||||
WEX INC | Common stock – 7,602 shares | 1,073,630 | ||||
WORLDPAY INC | Common stock – 13,882 shares | 1,021,021 | ||||
YELP INC | Common stock – 18,426 shares | 773,155 | ||||
378,406,747 | ||||||
* | Self-Directed Brokerage Fund | A self-directed brokerage fund allowing participants to invest in a wide array of securities including but not limited to publicly traded stocks, mutual funds, bonds, certificates of deposit, and money market funds at their discretion. | 83,700,724 | |||
Investments (at fair value) | 1,370,333,954 | |||||
* | Participant Loans | Loans extended to participants at interest rates of 4.25% to 10.5% | 22,818,203 | |||
$ | 1,393,152,157 |
Exhibit No. | Description | |
23 | Consent of Independent Registered Public Accounting Firm | |