# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1 Fidelity Management & Research Co. LLC 1,135,871 1,135,871 0 0 0 04/30/2026
2 BlackRock Advisors LLC 334,087 334,087 0 0 0 03/31/2026
3 Intel Corp. (Investment Management) 125,334 125,334 0 0 0 03/31/2026
4 Fidelity Investments Canada ULC 18,737 18,737 0 0 0 03/31/2026
5 Payden & Rygel 10,175 10,175 0 0 0 03/31/2026
# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1 Fidelity New Markets Income Fund 527,252 527,252 0 0 0 03/31/2026
2 BlackRock Strategic Income Opportunities Portfolio 324,216 324,216 0 0 0 03/31/2026
3 Fidelity Series Emerging Markets Debt Fund 169,492 169,492 0 0 0 03/31/2026
4 Intel Retirement Plans CIT - Opportunistic Bond Fund 125,334 125,334 0 0 0 03/31/2026
5 FIAM Emerging Markets Debt Commingled Pool 117,529 117,529 0 0 0 03/31/2026
6 Fidelity Total Bond Fund 112,040 112,040 0 0 0 02/28/2026
7 Fidelity Total Bond ETF 62,701 62,701 0 0 0 04/30/2026
8 Fidelity Emerging Markets Debt Multi-Asset Base Fund 59,518 59,518 0 0 0 02/28/2026
9 Fidelity SAI Total Bond Fund 52,934 52,934 0 0 0 02/28/2026
10 Fidelity Global Monthly Income Fund - Canada 17,345 17,345 0 0 0 02/28/2026
11 Fidelity Total Bond K6 Fund 13,817 13,817 0 0 0 02/28/2026
12 Payden Emerging Markets Corporate Bond Fund 10,175 10,175 0 0 0 03/31/2026
13 BlackRock Strategic Global Bond Fund Inc. 9,871 9,871 0 0 0 03/31/2026
14 Fidelity US Monthly Income Fund 7,451 7,451 0 0 0 02/28/2026
15 Fidelity Strategic Income Fund 3,554 3,554 0 0 0 02/28/2026
# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1 Fidelity Management & Research Co. LLC 1,135,871 1,135,871 0 0 0 04/30/2026
2 BlackRock Advisors LLC 334,087 334,087 0 0 0 03/31/2026
3 Intel Corp. (Investment Management) 125,334 125,334 0 0 0 03/31/2026
4 Fidelity Investments Canada ULC 18,737 18,737 0 0 0 03/31/2026
5 Payden & Rygel 10,175 10,175 0 0 0 03/31/2026
# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1

Data provided by FactSet Research Systems Inc.