SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM 11-K

 

ANNUAL REPORT

 

(Mark One)

 

x                                                      ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 [NO-FEE REQUIRED]

 

For the calendar year ended December 31, 2017

 

OR

 

o                                                         TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 [NO FEE REQUIRED]

 

For the transition period from                                      to                                     

 

Commission file number

 

CITY NATIONAL BANK PROFIT SHARING PLAN

 

555 South Flower Street, Eighteenth Floor

Los Angeles, California 90071

(Full title of the plan and the address of the plan)

 

CITY NATIONAL BANK

 

555 South Flower Street, Eighteenth Floor

Los Angeles, California 90071

(Name of issuer of the securities held pursuant to the plan

and the address of its principal executive office)

 

 

 



 

REQUIRED INFORMATION

 

Item 1.

Not Applicable

 

 

Item 2.

Not Applicable

 

 

Item 3.

Not Applicable

 

 

Item 4.

In lieu of the requirements of Items 1-3 above, plan financial statements and supplemental information prepared in accordance with the financial reporting requirements of ERISA are attached.

 



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Financial Statements and Supplemental Information

 

December 31, 2017 and 2016

 

(With Report of Independent Registered Public Accounting Firm Thereon)

 



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Table of Contents

 

 

Page

 

 

Report of Independent Registered Public Accounting Firm

1

 

 

Statements of Net Assets Available for Benefits — December 31, 2017 and 2016

2

 

 

Statements of Changes in Net Assets Available for Benefits — Years ended December 31, 2017 and 2016

3

 

 

Notes to Financial Statements

4

 

 

Supplemental Information

 

 

 

Schedule H Part IV, Line 4(i) — Schedule of Assets (Held at End of Year) — December 31, 2017

13

 

All other supplemental information omitted are not applicable or are not required based on disclosure requirements of the Employee Retirement Income Security Act of 1974 and regulations issued by the Department of Labor.

 



 

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 

To the Benefits Committee of

City National Bank Profit Sharing Plan

 

Opinion on the Financial Statements

 

We have audited the accompanying statements of net assets available for benefits of the City National Bank Profit Sharing Plan (the “Plan”) as of December 31, 2017 and 2016, the related statements 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 as of December 31, 2017 and 2016, and the changes in net assets available for benefits for the years then ended in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

 

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

 

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

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures to 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.

 

Opinion on the Supplemental Information

 

The supplemental information included in Schedule H, line 4(i) — Schedule of Assets (Held at End of Year) as of December 31, 2017 has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental information is the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental information. In forming our opinion on the supplemental information in the accompanying schedule, we evaluated whether the supplemental information, including its form and content, is presented in conformity with DOL’s Rules and Regulations for Reporting and Disclosure under ERISA. In our opinion, the supplemental information in the accompanying schedule is fairly stated, in all material respects, in relation to the financial statements as a whole.

 

/s/ Moss Adams LLP

 

Irvine, California

June 28, 2018

 

We have served as the Plan’s auditor since 2016.

 



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

 

Statements of Net Assets Available for Benefits

 

December 31, 2017 and 2016

 

 

 

2017

 

2016

 

Assets:

 

 

 

 

 

Participant directed investments, at fair value:

 

 

 

 

 

Cash and cash equivalents

 

$

75,738,427

 

$

85,944,273

 

U.S.Government securities

 

 

8,004

 

Mutual funds

 

605,440,529

 

490,559,604

 

Common stock

 

103,652,892

 

80,538,767

 

Preferred stock

 

165,169

 

168,805

 

Corporate debt

 

58,873

 

71,357

 

Common collective trust

 

87,855,739

 

65,838,706

 

Partnerships

 

821,059

 

580,104

 

Other assets

 

39,226

 

(19,170

)

Total investments

 

873,771,914

 

723,690,450

 

Receivables:

 

 

 

 

 

Employer contribution

 

 

53

 

Participant contribution

 

 

107

 

Notes receivable from participants

 

14,347,124

 

12,967,245

 

Total receivables

 

14,347,124

 

12,967,405

 

Noninterest-bearing cash

 

138,165

 

37,420

 

Net assets available for benefits

 

$

888,257,203

 

$

736,695,275

 

 

 

See accompanying notes to financial statements.

 

2



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

Statements of Changes in Net Assets Available for Benefits

 

Years ended December 31, 2017 and 2016

 

 

 

2017

 

2016

 

Additions to net assets attributable to:

 

 

 

 

 

Investment income:

 

 

 

 

 

Interest

 

$

586,218

 

$

540,703

 

Dividends

 

22,155,325

 

12,978,286

 

Net appreciation in fair value of investments

 

102,736,701

 

51,461,081

 

 

 

125,478,244

 

64,980,070

 

Contributions:

 

 

 

 

 

Employer

 

34,604,338

 

24,168,971

 

Participants

 

41,264,510

 

37,955,969

 

Total additions

 

201,347,092

 

127,105,010

 

Deductions from net assets attributable to:

 

 

 

 

 

Benefits paid to participants

 

49,471,121

 

62,175,287

 

Administrative expenses

 

314,043

 

455,057

 

Total deductions

 

49,785,164

 

62,630,344

 

Net increase

 

151,561,928

 

64,474,666

 

Net assets available for benefits:

 

 

 

 

 

Beginning of year

 

736,695,275

 

672,220,609

 

End of year

 

$

888,257,203

 

$

736,695,275

 

 

 

See accompanying notes to financial statements.

 

3



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

(1)                     Description of the Plan

 

 

The following description of the City National Bank Profit Sharing Plan (the Plan) provides only general information. Participants should refer to the plan agreement for a complete description of the Plan’s provisions.

 

(a)                   General

 

The Plan is a defined contribution profit sharing plan with a 401(k) component, which provides retirement benefits for eligible employees of City National Bank (CNB) and its subsidiaries and certain affiliates (the Company) that have agreed to participate in the Plan. The Plan is administered by City National Bank (the Plan Sponsor) who acts by and through its administrative committee, the Benefits Committee. The Benefits Committee comprises officers of the Plan Sponsor, City National Bank, an indirect, wholly-owned subsidiary of Royal Bank of Canada (RBC). The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA), as amended.

 

On November 2, 2015, RBC completed its acquisition of City National Corporation (CNC), the former holding company for CNB. CNC was merged with and into RBC USA Holdco Corporation (Holdco), a Delaware corporation, with Holdco surviving the merger as a wholly-owned subsidiary of RBC.  Prior to November 2, 2015, CNC was the Company or Plan Sponsor and the Plan was called the CNC Profit Sharing Plan.

 

The Department of Labor (DOL) conducted an investigation of the Plan, which began during the year ended December 31, 2009 for plan years ended December 31, 2006 through December 31, 2011.

 

The DOL issued its findings by letter dated September 29, 2012 in which the DOL addressed the appearance of violations of ERISA, subject to the possibility that additional information may revise its views.  By letter dated December 6, 2012, CNC responded to the DOL.   Representatives of the DOL and CNC met on May 29, 2013.  During the May 29, 2013 meeting, both the DOL and CNC agreed to provide additional information and to continue discussions.  Subsequent to that meeting, CNC provided additional information to the DOL.

 

On April 24, 2015, the DOL filed a complaint against CNC and others in the U.S. District Court for the Central District of California Western Division.  The DOL alleged the following causes of action:  (1) disloyal, imprudent, and prohibited transactions between the Plan and plan service providers City National Bank and CNC, who were also Plan fiduciaries; (2) disloyal, imprudent and prohibited transactions between the Plan and City National Asset Management, a division of City National Bank; and City National Securities, a wholly owned subsidiary of City National Bank; and (3) co-fiduciary liability with alleged damages of approximately $4 million plus lost opportunity costs.  CNC received the summons and complaint and engaged counsel.  On April 5, 2016, the Court granted partial summary judgment in favor of the DOL and ordered CNB to retain an independent fiduciary to conduct an accounting of the amount of revenue sharing paid to CNB as a result of the Plan’s investments.  CNB’s motion for reconsideration was denied on June 7, 2016. After a mutually agreed-upon independent fiduciary completed its accounting of revenue sharing, the parties filed cross motions for partial summary judgment on damages. On February 8, 2017, the Court ruled in favor of plaintiffs and entered judgment in the amount of $7.3 million. CNB filed a notice of appeal on March 28, 2017, and briefing in the Ninth Circuit Court of Appeals is now completed with the Court to set oral arguments in late 2018.  The Plan Sponsor is responsible for the payment of any amounts that may be incurred with respect to this matter. The impact on the Plan will be limited to gains that may be reported as a result of any payment made by the Plan Sponsor to the Plan.  Such amounts cannot be determined at this time.

 

4



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

OneAmerica Retirement Services LLC is the recordkeeper for the Plan.  CNB was the directed trustee for the Plan through March 31, 2017 and Matrix Trust Company was appointed directed trustee effective April 1, 2017.  Matrix Trust Company is also the custodian for assets of the Plan. Plan participant Individually Directed Accounts (IDAs) are held at TD Ameritrade, unless a participant requests a different provider.

 

(b)                   Contributions

 

Employees of the Company who are entitled to paid vacation time and have completed one hour of service are eligible to participate in the Plan as of their hire date. Company profit sharing contributions to the Plan (referenced as “Employer Contributions” in the Plan) are equal to a percentage of employee eligible compensation based on the change in Net Profits (as defined by the Plan) over the prior fiscal year, subject to an overall maximum Company contribution of 8% of Consolidated Net Profits reduced by matching contributions made for such fiscal year (which are not made by forfeitures). For Plan years 2017 and 2016, a profit sharing contribution of 6.27% and 5.46%, respectively, of each participant’s eligible compensation was made by the Company. Participants direct the investment of their contributions into various investment options offered by the Plan. Company contributions are invested at the participant’s discretion in the same manner as the salary reduction contributions described below.

 

Under the 401(k) feature of the Plan, participants can contribute, under a salary reduction agreement, up to 50% of their eligible compensation as defined, but not to exceed the dollar amount allowed by law, which was $18,000 for the years ended December 31, 2017 and 2016. The Company matches these employee deferrals up to a maximum amount of 50% of the first 6% of eligible compensation contributed to the Plan each payroll period. Participants age 50 and over may make unmatched “catch-up” deferrals in accordance with Internal Revenue Code (IRC) regulations and limitations, not to exceed the dollar amount allowed by law, which was $6,000 for the years ended December 31, 2017 and 2016. Participants may also contribute amounts representing distributions (rollovers) from other tax-favored plans.

 

(c)                    Participant Accounts

 

Each participant account is credited with the participant’s contributions, allocations of the Company’s matching contribution and profit sharing contribution (if any), earnings or losses and administrative expenses as applicable. Earnings of the various funds are allocated to the participant balances according to the ratio that a participant’s account balance or shares held in a given fund bears to the total of all account balances or shares held in the fund.

 

5



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

(d)                   Vesting

 

Participant contributions and the Company’s matching contributions are immediately fully vested. A participant shall become fully vested in his or her entire accrued benefit upon the participant’s normal retirement date (as defined by the Plan), death, or total disability (as defined by the Plan). The Company’s profit sharing contributions, for participants whose employment terminates prior to his or her normal retirement date for reasons other than death or total disability shall vest in accordance with the following schedule:

 

 

 

Vested

 

Years of service

 

percentage

 

Less than 2 years

 

0

%

2

 

25

 

3

 

50

 

4

 

75

 

5 or more

 

100

 

 

Any non-vested amounts in a terminated participant’s account will be forfeited in accordance with Plan provisions and used in the following sequence: first, to make any Plan contributions due to participants that have returned from qualified military service that are consistent with applicable law and the terms of the Plan; second, to make any Plan contributions required to correct administrative errors; third, to reduce matching contributions otherwise payable by the Company in the year that the forfeiture first becomes available; fourth, to restore previously forfeited account balances, if any; and fifth, to reduce matching contributions in the following year. As of December 31, 2017 and 2016, forfeited non-vested accounts totaled $9,987 and $5,492, respectively.

 

(e)                    Benefit Payments

 

In accordance with Plan provisions, a participant may elect to receive a distribution of his or her entire vested accrued benefit upon the participant’s separation of service or attainment of age 59 ½. Under certain other conditions, such as for financial hardships defined by the Plan, a participant may request a withdrawal of his or her contributions.

 

In general, for distributions other than for financial hardship or withdrawal of employee after-tax contributions, the method of payment shall be based on the participant’s election and may be made in the form of a lump-sum payment, installments (if eligible as defined by the Plan), or direct transfer to an Individual Retirement Account (IRA) or tax-favored plan that accepts the transfer. A participant may also elect a combination of lump-sum payment and direct transfer. Distributions shall be made in cash or in-kind in accordance with the participant’s election and Plan provisions.

 

6



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

(f)                      Notes Receivable from Participants

 

In accordance with provisions of the Plan’s Loan Program, loans to participants may be made in an amount not less than $1,000 and not to exceed the lesser of 50% of the participant’s vested account balance, or $50,000 reduced by the highest outstanding balance during the previous 12 months. Participants may only have one loan outstanding at a time. Such loans are collateralized by the participant’s vested balance in the Plan and bear the prevailing interest rate used by lending institutions for loans made under similar circumstances. Interest rates ranged from 4.25% to 9.25% and maturity dates ranged from January 2018 to January 2033 as of December 31, 2017. The terms of these loans cannot exceed five years except that if the loan is used to purchase the principal residence of the participant, the loan term may be extended for up to a period of 15 years. Principal and interest are paid ratably through payroll deductions.

 

(g)                   Plan Termination

 

The Company has not expressed any intent to terminate the Plan; however, it may do so at any time, subject to the provisions of ERISA. In the event of Plan termination, participants automatically become fully vested in their accrued benefits.

 

(h)                   Plan Amendments

 

Effective January 1, 2016, the Plan was amended to (1) align the Employer Contribution (i.e., profit sharing) component with the Company’s new fiscal year, which changed from calendar year to the 12-month period beginning November 1 and ending October 31; (2) to account for a short fiscal year for purposes of the 2016 profit sharing contribution; and (3) to modify the definition of Net Profit to align with the Company’s new fiscal year and financial structure under RBC.

 

Effective January 1, 2017, the Plan was amended to align definitions and testing methods used in discrimination testing with RBC’s US defined contribution plan to: (1) remove from the definition of Highly Compensated Employee reference to the top-paid group as the group consisting of the top 20% of Employees, to (2) change the Actual Deferral Percentage Limitation and the Limitations on Employee 401(m) Contributions from preceding year to current year method for testing purposes, and (3) to clarify repayment of participant loans applicable to participant transfers within the Controlled Group.

 

(2)                     Significant Accounting Policies

 

(a)                   Basis of Presentation

 

The financial statements of the Plan have been prepared on the accrual basis of accounting in accordance with U.S. generally accepted accounting principles (U.S. GAAP).

 

Certain prior year amounts have been reclassified to conform to the current period presentation.

 

7



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

(b)                   Use of Estimates

 

The preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities in the statements of net assets available for benefits and the additions and deductions in the statements of changes in net assets available for benefits, as well as the disclosure of contingent assets and liabilities at the date of the financial statements. Actual results could differ from those estimates.

 

(c)                    Investment Valuation and Income Recognition

 

Publicly traded securities are carried at fair value based on the published market quotations. Shares of mutual funds are valued at quoted market prices, which represent the net asset value (NAV) of shares held by the Plan at year-end. Common collective trust fund is valued at the NAV of units of the collective trust. Refer to Note 3 for a discussion of fair value measurements. Purchases and sales of investments are recorded on a settlement-date basis, which does not materially differ from trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Net appreciation or depreciation in fair value of investments includes both realized and unrealized gains and losses.

 

(d)                   Notes Receivable from Participants

 

Notes receivable from participants are measured at their unpaid principal balance plus any accrued but unpaid interest. Interest income is recorded on the accrual basis. If a participant ceases to make loan repayments and the plan administrator deems the participant loan to be in default, the participant loan balance is reduced and a benefit payment is recorded.

 

(e)                    Payment of Participant Benefits

 

Participant benefits are recorded when paid.

 

(f)                      Administrative Expenses

 

A portion of the administrative expenses of the Plan are paid by participants, and a portion is paid by the Company.

 

A participant’s share of the administrative expense is charged on a per capita basis determined by dividing the applicable expenses by the number of participants.

 

Individual expenses, such as loan and Individually Directed Account (IDA) fees, are charged to the applicable participant accounts based on whether a participant takes advantage of certain Plan features. For example, the Plan’s service providers charge a fee for processing loan applications and IDA transactions.

 

8



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

(g)                   Risks and Uncertainties

 

The Plan provides for various investment options in money market funds, mutual funds, common stocks, corporate debt, and government securities. Investment securities are exposed to various risks such as interest rate, market, and credit. Due to the level of uncertainty related to changes in the value of investment securities, it is at least reasonably possible that changes in the various risk factors, in the near term, could materially affect participants’ account balances and the amounts reported in the financial statements.

 

(h)                   Concentrations

 

Investment in the common stock of Royal Bank of Canada comprises 9.3% and 8.7% of the Plan’s investments as of December 31, 2017 and 2016, respectively.

 

(3)                     Fair Value Measurements

 

Accounting guidance defines fair value as the price that would be received from selling an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. When determining the fair value measurements for assets and liabilities required to be recorded at fair value, the Plan considers the principal or most advantageous market in which it would transact and considers assumptions that market participants would use when pricing the asset or liability, such as inherent risk, transfer restrictions, and risk of nonperformance. The inputs used in valuation techniques are prioritized as follows:

 

·                            Level 1: Inputs to the valuation methodology are unadjusted quoted prices for identical assets or liabilities in active markets that the Plan has the ability to access.

 

·                            Level 2: Inputs to the valuation methodology include:

 

·                  Quoted prices for similar assets or liabilities in active markets

·                  Quoted prices for identical or similar assets or liabilities in inactive markets

·                  Inputs other than quoted prices that are observable for the asset or liability

·                  Inputs that are derived principally from or corroborated by observable market data by correlation or other means

 

If the asset or liability has a specified (contractual) term, the Level 2 input must be observable for substantially the full term of the asset or liability.

 

·                            Level 3: Inputs to the valuation methodology are unobservable and significant to the fair value measurement.

 

If the determination of fair value measurement for a particular asset or liability is based on inputs from different levels of the fair value hierarchy, the level in the fair value hierarchy within which the entire fair value measurement falls is based on the lowest level input that is significant to the fair value measurement in its entirety. Valuation techniques used need to maximize the use of observable inputs and minimize the use of unobservable inputs.

 

9



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

Following is a description of the valuation methodologies used for assets measured at fair value. There have been no changes in the methodologies used as of December 31, 2017 and 2016.

 

Mutual funds and cash equivalents: Valued at the quoted NAV of shares held by the Plan at year-end.

 

U.S. Government securities: Valued using quoted prices and other inputs directly or indirectly observable for the asset. Prices for securities without market feeds are obtained through a third-party valuation source.

 

Common and preferred stock: Valued at the closing prices reported in active markets on which the individual securities are traded. Prices for securities without market feeds are obtained through a third-party valuation source using quoted prices.

 

Corporate debt: Valued using pricing models maximizing the use of observable inputs for similar securities. This includes basing value on yields currently available on comparable securities of issuers with similar credit ratings.

 

Partnerships: Valued at the closing prices reported in active markets on which the individual securities are traded.

 

Other assets: Primarily consist of options, which are valued by third-party vendors based on observable market inputs.

 

Common collective trust fund: Valued at the NAV of units of the collective trust. The NAV, as provided by the trustee of the common collective trust fund, is used as a practical expedient to estimate fair value. The NAV is based on the fair value of the underlying investments held by the fund less its liabilities. This practical expedient is not used when it is determined to be probable that the fund will sell the investments for an amount different than the reported NAV. Participant transactions (purchases and sales) may occur daily. If the Plan initiates a full redemption of the collective trust, the issuer reserves the right to temporarily delay withdrawal from the trust in order to ensure that securities liquidations will be carried out in an orderly business manner.

 

The methods described above may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair values of certain financial instruments could result in a different fair value measurement at the reporting date.

 

10



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

As of December 31, 2017 and 2016, the Plan’s investments measured at fair value consisted of the following instruments and classifications within the fair value hierarchy:

 

 

 

Fair value measurement as of

 

 

 

 

 

December 31, 2017, using input type

 

 

 

Asset type

 

 

Level 1

 

Level 2

 

Level 3

 

Total

 

Cash equivalents

 

$

75,608,477

 

$

129,950

 

$

 

$

75,738,427

 

Mutual funds

 

605,440,529

 

 

 

605,440,529

 

Common stock

 

103,291,677

 

361,215

 

 

103,652,892

 

Preferred stock

 

165,169

 

 

 

165,169

 

Corporate debt

 

 

58,873

 

 

58,873

 

Partnerships

 

821,059

 

 

 

821,059

 

Other assets

 

 

39,226

 

 

39,226

 

Total assets in the fair value hierarchy

 

785,326,911

 

589,264

 

 

785,916,175

 

Investments measured at net asset value (a)

 

 

 

 

87,855,739

 

Total investments, at fair value

 

$

785,326,911

 

$

589,264

 

$

 

$

873,771,914

 

 

 

 

Fair value measurement as of

 

 

 

 

 

December 31, 2016, using input type

 

 

 

Asset type

 

 

Level 1

 

Level 2

 

Level 3

 

Total

 

Cash equivalents

 

$

85,944,273

 

$

 

$

 

$

85,944,273

 

U.S. Government securities

 

 

8,004

 

 

8,004

 

Mutual funds

 

490,559,604

 

 

 

490,559,604

 

Common stock

 

80,333,529

 

205,238

 

 

80,538,767

 

Preferred stock

 

168,805

 

 

 

168,805

 

Corporate debt

 

 

71,357

 

 

71,357

 

Partnerships

 

580,104

 

 

 

580,104

 

Other assets

 

 

(19,170

)

 

(19,170

)

Total assets in the fair value hierarchy

 

657,586,315

 

265,429

 

 

657,851,744

 

Investments measured at net asset value (a)

 

 

 

 

65,838,706

 

Total investments, at fair value

 

$

657,586,315

 

$

265,429

 

$

 

$

723,690,450

 

 


 

(a)    In accordance with Topic 820, certain investments that are measured at fair value using the net asset value per share (or its equivalent), as a practical expedient have not been classified in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the statements of net assets available for benefits.

 

(4)                     Party-in-Interest Transactions

 

Certain Plan investments are shares of CNR Mutual Funds managed by City National Rochdale and shares of common stock of Royal Bank of Canada. CNR is a wholly owned subsidiary of City National Bank, which is an indirect, wholly-owned subsidiary of Royal Bank of Canada, and thus, these are party-in-interest transactions.

 

11



 

CITY NATIONAL BANK
PROFIT SHARING PLAN

 

Notes to Financial Statements

 

December 31, 2017 and 2016

 

(5)                     Income Taxes

 

The Company received a favorable tax determination letter on May 8, 2017 from the IRS stating that the Plan is qualified under IRC Section 401(a) and that the Trust is exempt from federal income taxes under provisions of Section 501(a). Although the determination received in 2017 did not include Plan amendments executed after January 7, 2016, the Plan administrator and the Plan’s tax counsel believe that the Plan is designed and is currently being operated in compliance with the applicable requirements of the IRC.

 

U.S. GAAP requires plan management to evaluate tax positions taken by the plan and recognize a tax liability (or asset) if the plan has taken an uncertain position that more likely than not would not be sustained upon examination by the IRS. The Plan administrator has concluded that as of December 31, 2017 and 2016, there are no uncertain positions taken or expected to be taken that would require recognition of a liability (or asset) or disclosure in the financial statements. The Plan may be subject to audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress.

 

(6)                     Reconciliation of Financial Statements to Form 5500

 

The following is a reconciliation of the assets available for benefits between the financial statements and Form 5500 as of December 31, 2017 and 2016:

 

 

 

2017

 

2016

 

Net assets available for benefits per the financial statements

 

$

888,257,203

 

$

736,695,275

 

Less interest income on notes receivable from participants

 

4,417

 

2,912

 

Net assets available for benefits per Form 5500

 

$

888,252,786

 

$

736,692,363

 

 

The following is a reconciliation of the net increase in net assets available for benefits between the financial statements and the Form 5500 for the years ended December 31, 2017 and 2016:

 

 

 

2017

 

2016

 

Net increase in net assets available for benefits per the financial statements

 

$

151,561,928

 

$

64,474,666

 

Less interest income on notes receivable from participants

 

1,505

 

(2,155

)

Net increase in net assets available for benefits per Form 5500

 

$

151,560,423

 

$

64,476,821

 

 

12



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CASH EQUIVALENTS

 

 

 

 

 

 

 

 

 

*

 

City National Rochdale Gov Mm-Sv

 

505,518

 

City National Rochdale Gov Mm-Sv

 

^

 

505,518

 

 

 

TD Asset Management Money Market Portfolio

 

4,601,527

 

TD Asset Management Money Market Portfolio

 

^

 

4,601,527

 

 

 

Vanguard Federal Money Market

 

70,501,432

 

Vanguard Federal Money Market

 

^

 

70,501,432

 

 

 

 

 

 

 

TOTAL CASH EQUIVALENTS

 

 

 

75,608,477

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

SAVINGS AND CD’S

 

 

 

 

 

 

 

 

 

 

 

BMO Harris Bank Na

 

25,000

 

BMO Harris Bank Na

 

^

 

24,995

 

 

 

Compass Bank

 

20,000

 

Compass Bank

 

^

 

19,987

 

 

 

Discover Bank

 

20,000

 

Discover Bank

 

^

 

19,994

 

 

 

Merchants Bnk Of Indiana

 

15,000

 

Merchants Bnk Of Indiana

 

^

 

14,994

 

 

 

Merchants Bnk Of Indiana

 

25,000

 

Merchants Bnk Of Indiana

 

^

 

24,997

 

 

 

Pacific Western Bank

 

25,000

 

Pacific Western Bank

 

^

 

24,983

 

 

 

 

 

 

 

TOTAL SAVINGS AND CD’S

 

 

 

129,950

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CORPORATE OBLIGATIONS

 

 

 

 

 

 

 

 

 

 

 

Compass Bank

 

5,000

 

Compass Bank

 

^

 

4,999

 

 

 

Qwest Corporation

 

25,000

 

Qwest Corporation

 

^

 

27,499

 

 

 

Reliance Steel & Alum

 

25,000

 

Reliance Steel & Alum

 

^

 

26,375

 

 

 

 

 

 

 

TOTAL CORPORATE OBLIGATIONS

 

 

 

58,873

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

PREFERRED STOCKS

 

 

 

 

 

 

 

 

 

 

 

Colony Northstar Inc 8.25%

 

3,000

 

Colony Northstar Inc 8.25%

 

^

 

76,260

 

 

 

Istar Finl Inc Pfd Ser D

 

2,000

 

Istar Finl Inc Pfd Ser D

 

^

 

50,740

 

 

 

JPMorgan Chase & Co 5.45%

 

1,504

 

JPMorgan Chase & Co 5.45%

 

^

 

38,169

 

 

 

Nate’s Foods Co Series E - RESTRICTED

 

72,196

 

Nate’s Foods Co Series E - RESTRICTED

 

^

 

0

 

 

 

 

 

 

 

TOTAL PREFERRED STOCKS

 

 

 

165,169

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

COMMON STOCKS

 

 

 

 

 

 

 

 

 

 

 

180 Degree Capital Corp

 

300

 

180 Degree Capital Corp

 

^

 

591

 

 

 

3m Co.

 

53

 

3m Co.

 

^

 

12,475

 

 

 

58.Com Inc-ADR

 

5

 

58.Com Inc-ADR

 

^

 

358

 

 

 

Abbott Laboratories

 

100

 

Abbott Laboratories

 

^

 

5,707

 

 

 

Abbvie Inc

 

170

 

Abbvie Inc

 

^

 

16,441

 

 

 

Acadia Pharmaceuticals Inc

 

300

 

Acadia Pharmaceuticals Inc

 

^

 

9,033

 

 

 

Achaogen Inc

 

300

 

Achaogen Inc

 

^

 

3,222

 

 

 

Acology Inc

 

10,000

 

Acology Inc

 

^

 

205

 

 

 

Adamis Pharmaceuticals Corp

 

4,300

 

Adamis Pharmaceuticals Corp

 

^

 

18,920

 

 

 

Adobe Systems Inc.

 

517

 

Adobe Systems Inc.

 

^

 

90,599

 

 

 

Advanced Micro Devices

 

570

 

Advanced Micro Devices

 

^

 

5,860

 

 

 

Advaxis Inc

 

350

 

Advaxis Inc

 

^

 

994

 

 

 

AECOM

 

100

 

AECOM

 

^

 

3,715

 

 

 

Aerovironment Inc

 

5

 

Aerovironment Inc

 

^

 

281

 

 

 

Aes Corp

 

10

 

Aes Corp

 

^

 

108

 

 

 

Aetna Inc

 

80

 

Aetna Inc

 

^

 

14,431

 

 

 

Aflac Inc

 

660

 

Aflac Inc

 

^

 

57,935

 

 

 

Agenus Inc

 

800

 

Agenus Inc

 

^

 

2,608

 

 

 

AGNC Investment Corp

 

3,247

 

AGNC Investment Corp

 

^

 

65,559

 

 

 

Agnico-Eagle Mines Ltd F

 

100

 

Agnico-Eagle Mines Ltd F

 

^

 

4,618

 

 

 

Air Lease Corp A

 

4

 

Air Lease Corp A

 

^

 

192

 

 

 

Akamai Technologies

 

248

 

Akamai Technologies

 

^

 

16,130

 

 

13



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Akoustis Technologies Inc

 

750

 

Akoustis Technologies Inc

 

^

 

4,672

 

 

 

Alarm.Com Holdings Inc

 

20

 

Alarm.Com Holdings Inc

 

^

 

755

 

 

 

Alcoa Inc

 

11

 

Alcoa Inc

 

^

 

593

 

 

 

Alibaba Group Holding-Sp ADR

 

2,868

 

Alibaba Group Holding-Sp ADR

 

^

 

494,529

 

 

 

Allergan plc

 

40

 

Allergan plc

 

^

 

6,543

 

 

 

Allstate Corp

 

5

 

Allstate Corp

 

^

 

524

 

 

 

Ally Financial Inc

 

203

 

Ally Financial Inc

 

^

 

5,914

 

 

 

Alphabet Inc CL A

 

231

 

Alphabet Inc CL A

 

^

 

243,335

 

 

 

Alphabet Inc Cl C

 

19

 

Alphabet Inc Cl C

 

^

 

19,882

 

 

 

Alternet Systems Inc

 

15,000

 

Alternet Systems Inc

 

^

 

295

 

 

 

Altria Group Inc

 

3,060

 

Altria Group Inc

 

^

 

218,515

 

 

 

Amazon Com Inc

 

204

 

Amazon Com Inc

 

^

 

238,572

 

 

 

American Eagle Outfitters

 

255

 

American Eagle Outfitters

 

^

 

4,794

 

 

 

American Electric Power Co

 

560

 

American Electric Power Co

 

^

 

41,199

 

 

 

American Express Co.

 

200

 

American Express Co.

 

^

 

19,862

 

 

 

American International Group

 

590

 

American International Group

 

^

 

35,152

 

 

 

American Water Works Co Inc

 

784

 

American Water Works Co Inc

 

^

 

71,728

 

 

 

American Xtal Tech Inc.

 

100

 

American Xtal Tech Inc.

 

^

 

870

 

 

 

Amgen Inc

 

40

 

Amgen Inc

 

^

 

6,956

 

 

 

Amico Games Corp (delisted 11/10/14)

 

250

 

Amico Games Corp (delisted 11/10/14)

 

^

 

0

 

 

 

Amphenol Cl A

 

252

 

Amphenol Cl A

 

^

 

22,126

 

 

 

Amtrust Financial Services

 

1,207

 

Amtrust Financial Services

 

^

 

12,153

 

 

 

Analog Devices Inc

 

50

 

Analog Devices Inc

 

^

 

4,451

 

 

 

Annaly Capital Management Inc

 

1,989

 

Annaly Capital Management Inc

 

^

 

23,649

 

 

 

Anthem Inc

 

5

 

Anthem Inc

 

^

 

1,125

 

 

 

Apache Corp

 

1,000

 

Apache Corp

 

^

 

42,220

 

 

 

Aphria Inc

 

270

 

Aphria Inc

 

^

 

3,982

 

 

 

Apple Inc

 

5,136

 

Apple Inc

 

^

 

869,199

 

 

 

Applied Material

 

4,100

 

Applied Material

 

^

 

209,592

 

 

 

Applied Optoelectronics Inc

 

300

 

Applied Optoelectronics Inc

 

^

 

11,346

 

 

 

Apptio Inc - Class A

 

400

 

Apptio Inc - Class A

 

^

 

9,408

 

 

 

Aquabounty Technologies Inc

 

1

 

Aquabounty Technologies Inc

 

^

 

4

 

 

 

Aratana Therapeutics Inc

 

1,600

 

Aratana Therapeutics Inc

 

^

 

8,416

 

 

 

Archer Daniels Midland

 

225

 

Archer Daniels Midland

 

^

 

9,018

 

 

 

Arconic Inc

 

33

 

Arconic Inc

 

^

 

899

 

 

 

Ardelyx Inc

 

150

 

Ardelyx Inc

 

^

 

990

 

 

 

Arena Pharmaceuticals

 

145

 

Arena Pharmaceuticals

 

^

 

4,926

 

 

 

Ares Capital Corp

 

50,305

 

Ares Capital Corp

 

^

 

790,795

 

 

 

Arista Networks Inc

 

51

 

Arista Networks Inc

 

^

 

12,015

 

 

 

Array Biopharma Inc

 

1,050

 

Array Biopharma Inc

 

^

 

13,440

 

 

 

ARRIS Intl Inc

 

100

 

ARRIS Intl Inc

 

^

 

2,569

 

 

 

Artistdirect Inc (Delisted 8/5/2009)

 

80

 

Artistdirect Inc (Delisted 8/5/2009)

 

^

 

0

 

 

 

Asanko Gold Inc

 

50

 

Asanko Gold Inc

 

^

 

35

 

 

 

At&t Inc

 

7,577

 

At&t Inc

 

^

 

294,609

 

 

 

Athenahealth Inc

 

100

 

Athenahealth Inc

 

^

 

13,304

 

 

 

Aurora Cannabis Inc

 

251

 

Aurora Cannabis Inc

 

^

 

1,915

 

 

 

Autodesk Inc

 

25

 

Autodesk Inc

 

^

 

2,621

 

 

 

Avadel Pharmaceuticals PLC

 

300

 

Avadel Pharmaceuticals PLC

 

^

 

2,460

 

 

 

Avangrid Inc

 

70

 

Avangrid Inc

 

^

 

3,541

 

 

 

Avid Technology Inc.

 

8

 

Avid Technology Inc.

 

^

 

43

 

 

 

Axovant Sciences Ltd

 

300

 

Axovant Sciences Ltd

 

^

 

1,581

 

 

 

B&G Foods Inc A

 

80

 

B&G Foods Inc A

 

^

 

2,812

 

 

14



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Baker Hughes A GE Co.

 

302

 

Baker Hughes A GE Co.

 

^

 

9,555

 

 

 

Banco Bilbao Vizcaya ADR

 

1

 

Banco Bilbao Vizcaya ADR

 

^

 

9

 

 

 

Banco Santander Adr

 

9,274

 

Banco Santander Adr

 

^

 

60,653

 

 

 

Bank Of America Corp

 

24,007

 

Bank Of America Corp

 

^

 

708,682

 

 

 

Bankunited Inc

 

115

 

Bankunited Inc

 

^

 

4,683

 

 

 

Barclays Plc ADR

 

47

 

Barclays Plc ADR

 

^

 

512

 

 

 

Bed Bath And Beyond Inc

 

1

 

Bed Bath And Beyond Inc

 

^

 

22

 

 

 

Bellicum Pharmaceuticals Inc

 

8,000

 

Bellicum Pharmaceuticals Inc

 

^

 

67,280

 

 

 

Berkshire Hathaway Inc Cl B

 

1,524

 

Berkshire Hathaway Inc Cl B

 

^

 

302,087

 

 

 

BHP Limited

 

101

 

BHP Limited

 

^

 

4,645

 

 

 

Big Lots Inc

 

680

 

Big Lots Inc

 

^

 

38,182

 

 

 

Biogen Inc

 

510

 

Biogen Inc

 

^

 

162,471

 

 

 

Blackrock 2001 Term Tr Inc

 

102

 

Blackrock 2001 Term Tr Inc

 

^

 

52,398

 

 

 

Boeing Company

 

155

 

Boeing Company

 

^

 

45,711

 

 

 

Bofi Holding Inc

 

1

 

Bofi Holding Inc

 

^

 

30

 

 

 

Bp Plc Spons Adr

 

721

 

Bp Plc Spons Adr

 

^

 

30,301

 

 

 

Bristol-Myers Squibb Co

 

2,252

 

Bristol-Myers Squibb Co

 

^

 

137,990

 

 

 

Bristow Group Inc

 

1,640

 

Bristow Group Inc

 

^

 

22,091

 

 

 

Brixmor Property Group Inc

 

380

 

Brixmor Property Group Inc

 

^

 

7,091

 

 

 

Brookdale Senior Living Inc

 

1,300

 

Brookdale Senior Living Inc

 

^

 

12,610

 

 

 

Cabot Oil & Gas Corp. Class A

 

1,159

 

Cabot Oil & Gas Corp. Class A

 

^

 

33,147

 

 

 

Cameco Corp

 

303

 

Cameco Corp

 

^

 

2,793

 

 

 

Canada Goose Holdings Inc

 

100

 

Canada Goose Holdings Inc

 

^

 

3,157

 

 

 

Canadian Solar Inc

 

25

 

Canadian Solar Inc

 

^

 

421

 

 

 

Cannaroyalty Corp

 

3,500

 

Cannaroyalty Corp

 

^

 

10,465

 

 

 

Canopy Growth Corp

 

255

 

Canopy Growth Corp

 

^

 

6,032

 

 

 

Capricor Therapeutics Inc

 

10

 

Capricor Therapeutics Inc

 

^

 

16

 

 

 

Capstead Mtg Corp

 

5,000

 

Capstead Mtg Corp

 

^

 

43,250

 

 

 

Casa Systems Inc

 

150

 

Casa Systems Inc

 

^

 

2,664

 

 

 

Cbl & Associates Properties

 

1,500

 

Cbl & Associates Properties

 

^

 

8,490

 

 

 

Celgene Corp

 

1,906

 

Celgene Corp

 

^

 

198,910

 

 

 

Celldex Therapeutics Inc

 

40,000

 

Celldex Therapeutics Inc

 

^

 

113,600

 

 

 

CenturyLinkl Inc

 

930

 

CenturyLinkl Inc

 

^

 

15,512

 

 

 

Cerner Corp

 

100

 

Cerner Corp

 

^

 

6,739

 

 

 

Ceva Inc

 

25

 

Ceva Inc

 

^

 

1,154

 

 

 

Charles Schwab Corporation

 

240

 

Charles Schwab Corporation

 

^

 

12,329

 

 

 

Charter Communications New Cl A

 

15

 

Charter Communications New Cl A

 

^

 

5,039

 

 

 

Chesapeake Energy Corp

 

2,802

 

Chesapeake Energy Corp

 

^

 

11,096

 

 

 

Chevron Corp

 

1,378

 

Chevron Corp

 

^

 

172,536

 

 

 

Chimera Investment Corp

 

30

 

Chimera Investment Corp

 

^

 

554

 

 

 

China Lending Corp

 

101

 

China Lending Corp

 

^

 

314

 

 

 

China Mobile Ltd ADR

 

60

 

China Mobile Ltd ADR

 

^

 

3,032

 

 

 

Chineseinvestors.Com Inc

 

2,600

 

Chineseinvestors.Com Inc

 

^

 

2,119

 

 

 

Chipotle Mexican Grill - Cl A

 

165

 

Chipotle Mexican Grill - Cl A

 

^

 

47,690

 

 

 

Cincinnatti Financial Corp

 

40

 

Cincinnatti Financial Corp

 

^

 

2,999

 

 

 

Cintas Corp

 

369

 

Cintas Corp

 

^

 

57,501

 

 

 

Cisco Systems Inc

 

445

 

Cisco Systems Inc

 

^

 

17,044

 

 

 

Citigroup Inc

 

4,031

 

Citigroup Inc

 

^

 

299,917

 

 

 

CME Group Inc

 

370

 

CME Group Inc

 

^

 

54,038

 

 

 

Cms Energy Corp

 

350

 

Cms Energy Corp

 

^

 

16,555

 

 

 

Cnooc Ltd Spd Adr

 

52

 

Cnooc Ltd Spd Adr

 

^

 

7,477

 

 

 

Coca-Cola Company

 

1,095

 

Coca-Cola Company

 

^

 

50,239

 

 

15



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cogentix Medical Inc

 

100

 

Cogentix Medical Inc

 

^

 

315

 

 

 

Cognex Corp

 

30

 

Cognex Corp

 

^

 

1,835

 

 

 

Cognizant Tech Solutns Cl. A

 

32

 

Cognizant Tech Solutns Cl. A

 

^

 

2,273

 

 

 

Colgate-Palmolive

 

894

 

Colgate-Palmolive

 

^

 

67,452

 

 

 

Comcast Corp Cl A

 

3,065

 

Comcast Corp Cl A

 

^

 

122,753

 

 

 

Concho Resources Inc

 

190

 

Concho Resources Inc

 

^

 

28,542

 

 

 

Conocophillips

 

2,612

 

Conocophillips

 

^

 

143,394

 

 

 

Consolidated Edison

 

300

 

Consolidated Edison

 

^

 

25,485

 

 

 

Control4 Corp

 

3,000

 

Control4 Corp

 

^

 

89,280

 

 

 

Costco Wholesale Corp-New

 

613

 

Costco Wholesale Corp-New

 

^

 

114,092

 

 

 

Credit Suisse Group Spon Adr

 

1

 

Credit Suisse Group Spon Adr

 

^

 

18

 

 

 

Crispr Therapeutics AG

 

200

 

Crispr Therapeutics AG

 

^

 

4,696

 

 

 

Crown Castle Intl Corp

 

127

 

Crown Castle Intl Corp

 

^

 

14,098

 

 

 

CubeSmart

 

2,000

 

CubeSmart

 

^

 

57,840

 

 

 

CV Sciences Inc

 

500

 

CV Sciences Inc

 

^

 

309

 

 

 

CVS Health Corp

 

320

 

CVS Health Corp

 

^

 

23,220

 

 

 

Cyber-Ark Software Ltd/Israe

 

175

 

Cyber-Ark Software Ltd/Israe

 

^

 

7,243

 

 

 

Danaher Corp Del

 

510

 

Danaher Corp Del

 

^

 

47,338

 

 

 

Deep Rock Oil & Gas Inc (delisted)

 

101

 

Deep Rock Oil & Gas Inc (delisted)

 

^

 

0

 

 

 

Deere & Co.

 

5

 

Deere & Co.

 

^

 

783

 

 

 

Dell Technologies Cl V

 

55

 

Dell Technologies Cl V

 

^

 

4,470

 

 

 

Delta Air Lines Inc

 

100

 

Delta Air Lines Inc

 

^

 

5,600

 

 

 

Deutsche Bank Ag Ord

 

1,891

 

Deutsche Bank Ag Ord

 

^

 

35,977

 

 

 

Devon Energy Corp New

 

100

 

Devon Energy Corp New

 

^

 

4,140

 

 

 

Diebold Nixdorf Inc

 

200

 

Diebold Nixdorf Inc

 

^

 

3,270

 

 

 

Digatrade Financial Corp

 

101

 

Digatrade Financial Corp

 

^

 

54

 

 

 

Digital Power Corp (dpw 01/02/18)

 

675

 

Digital Power Corp (dpw 01/02/18)

 

^

 

2,167

 

 

 

Disney Walt Co

 

1,004

 

Disney Walt Co

 

^

 

107,940

 

 

 

DNIB Unwind Inc (delisted 10/11/16)

 

15,000

 

DNIB Unwind Inc (delisted 10/11/16)

 

^

 

0

 

 

 

Dolby Laboratories Inc A

 

248

 

Dolby Laboratories Inc A

 

^

 

15,376

 

 

 

Dominion Energy Inc

 

340

 

Dominion Energy Inc

 

^

 

27,560

 

 

 

DowDuPont Inc

 

400

 

DowDuPont Inc

 

^

 

28,488

 

 

 

Dragon Victory International

 

1

 

Dragon Victory International

 

^

 

4

 

 

 

Dryships Inc

 

424

 

Dryships Inc

 

^

 

1,497

 

 

 

Duke Energy Corp

 

835

 

Duke Energy Corp

 

^

 

70,232

 

 

 

Dynacor Gold Mines Inc

 

800

 

Dynacor Gold Mines Inc

 

^

 

1,048

 

 

 

Dynavax Technologies Corp

 

600

 

Dynavax Technologies Corp

 

^

 

11,220

 

 

 

Ecolab Inc

 

247

 

Ecolab Inc

 

^

 

33,142

 

 

 

Edison Intl

 

1,500

 

Edison Intl

 

^

 

94,860

 

 

 

Editas Medicine Inc

 

150

 

Editas Medicine Inc

 

^

 

4,609

 

 

 

Edwards Lifesciences

 

699

 

Edwards Lifesciences

 

^

 

78,784

 

 

 

Elbit Systems Ltd F

 

65

 

Elbit Systems Ltd F

 

^

 

8,664

 

 

 

Electronic Arts

 

135

 

Electronic Arts

 

^

 

14,183

 

 

 

Eli Lilly & Company

 

695

 

Eli Lilly & Company

 

^

 

58,700

 

 

 

Emerald Health Therapeutics

 

250

 

Emerald Health Therapeutics

 

^

 

1,072

 

 

 

Energous Corp

 

1,615

 

Energous Corp

 

^

 

31,412

 

 

 

Ensco PLC

 

3,015

 

Ensco PLC

 

^

 

17,819

 

 

 

EPR Properties

 

40

 

EPR Properties

 

^

 

2,618

 

 

 

Equifax Inc.

 

1

 

Equifax Inc.

 

^

 

118

 

 

 

Essex Property Trust Inc

 

161

 

Essex Property Trust Inc

 

^

 

38,861

 

 

 

Eurobank Ergasias Sa-Uns ADR

 

4,685

 

Eurobank Ergasias Sa-Uns ADR

 

^

 

2,413

 

 

 

Eversource Energy

 

50

 

Eversource Energy

 

^

 

3,159

 

 

16



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Exact Sciences Corp

 

19,000

 

Exact Sciences Corp

 

^

 

998,260

 

 

 

Exelon Corp

 

1,500

 

Exelon Corp

 

^

 

59,115

 

 

 

Expedia Group Inc

 

5

 

Expedia Group Inc

 

^

 

599

 

 

 

Exxon-Mobil Corporation

 

2,241

 

Exxon-Mobil Corporation

 

^

 

187,403

 

 

 

Eyegate Pharmaceuticals

 

5,000

 

Eyegate Pharmaceuticals

 

^

 

5,350

 

 

 

Facebook Inc-A

 

6,047

 

Facebook Inc-A

 

^

 

1,067,054

 

 

 

Fannie Mae

 

500

 

Fannie Mae

 

^

 

1,325

 

 

 

Fireeye Inc

 

1,789

 

Fireeye Inc

 

^

 

25,404

 

 

 

Firstenergy Corp

 

2,500

 

Firstenergy Corp

 

^

 

76,550

 

 

 

Flexion Therapeutics Inc

 

400

 

Flexion Therapeutics Inc

 

^

 

10,016

 

 

 

Fmc Corp

 

10

 

Fmc Corp

 

^

 

947

 

 

 

Footlocker Inc.

 

100

 

Footlocker Inc.

 

^

 

4,688

 

 

 

Ford Motor Co New

 

162

 

Ford Motor Co New

 

^

 

2,025

 

 

 

Fortinet Inc

 

20

 

Fortinet Inc

 

^

 

874

 

 

 

Franco Nevada Corp

 

100

 

Franco Nevada Corp

 

^

 

7,995

 

 

 

Freeport-Mcmoran Inc

 

20,001

 

Freeport-Mcmoran Inc

 

^

 

379,219

 

 

 

Freeseas Inc (freed 02/06/18)

 

1

 

Freeseas Inc (freed 02/06/18)

 

^

 

0

 

 

 

Garrison Capital Inc

 

3,000

 

Garrison Capital Inc

 

^

 

24,330

 

 

 

General Cannabis Corp

 

101

 

General Cannabis Corp

 

^

 

654

 

 

 

General Electric Co

 

4,678

 

General Electric Co

 

^

 

81,628

 

 

 

General Mills

 

75

 

General Mills

 

^

 

4,447

 

 

 

General Motors Co

 

125

 

General Motors Co

 

^

 

5,124

 

 

 

Gilead Sciences Inc

 

1,588

 

Gilead Sciences Inc

 

^

 

113,780

 

 

 

Glaxosmithkline Plc Ads

 

1,037

 

Glaxosmithkline Plc Ads

 

^

 

36,798

 

 

 

Glencore Xstrata -Unsp ADR

 

200

 

Glencore Xstrata -Unsp ADR

 

^

 

2,082

 

 

 

Global Blockchain Techno Corp

 

46,001

 

Global Blockchain Techno Corp

 

^

 

63,941

 

 

 

Global Blood Therapeutics In

 

5,000

 

Global Blood Therapeutics In

 

^

 

196,750

 

 

 

Global Cannabis Applications Corp

 

7,500

 

Global Cannabis Applications Corp

 

^

 

2,625

 

 

 

Global Payout Inc

 

1,000

 

Global Payout Inc

 

^

 

66

 

 

 

Goldcorp Inc.

 

2,500

 

Goldcorp Inc.

 

^

 

31,925

 

 

 

Goldman Sachs Group Inc

 

536

 

Goldman Sachs Group Inc

 

^

 

136,551

 

 

 

Gramercy Property Trust

 

149

 

Gramercy Property Trust

 

^

 

3,972

 

 

 

Gs Enviroservices Inc (delisted 10/04/17)

 

250

 

Gs Enviroservices Inc (delisted 10/04/17)

 

^

 

0

 

 

 

Gulfport Energy Corp

 

600

 

Gulfport Energy Corp

 

^

 

7,656

 

 

 

GW Pharmaceuticals -ADR

 

1,050

 

GW Pharmaceuticals -ADR

 

^

 

138,610

 

 

 

Habit Restaurants Inc/The-A

 

325

 

Habit Restaurants Inc/The-A

 

^

 

3,104

 

 

 

Hain Food Group Inc

 

451

 

Hain Food Group Inc

 

^

 

19,118

 

 

 

Halliburton Company

 

525

 

Halliburton Company

 

^

 

25,674

 

 

 

Hanni Financial Corp

 

100

 

Hanni Financial Corp

 

^

 

3,035

 

 

 

Hartford Financial Services Group

 

1

 

Hartford Financial Services Group

 

^

 

56

 

 

 

Hasbro Inc.

 

50

 

Hasbro Inc.

 

^

 

4,545

 

 

 

Hawaiian Electric Industries

 

490

 

Hawaiian Electric Industries

 

^

 

17,713

 

 

 

HCA Healthcare Inc

 

100

 

HCA Healthcare Inc

 

^

 

8,784

 

 

 

HCP Inc

 

10

 

HCP Inc

 

^

 

261

 

 

 

HDFC Bank Ltd Adr

 

5

 

HDFC Bank Ltd Adr

 

^

 

508

 

 

 

Healthcare Trust Of America

 

90

 

Healthcare Trust Of America

 

^

 

2,704

 

 

 

Hercules Capital Inc

 

2,000

 

Hercules Capital Inc

 

^

 

26,240

 

 

 

Heron Therapeutics Inc

 

200

 

Heron Therapeutics Inc

 

^

 

3,620

 

 

 

Hertz Global Holdings Inc

 

300

 

Hertz Global Holdings Inc

 

^

 

6,630

 

 

 

Hexcel Corp New

 

225

 

Hexcel Corp New

 

^

 

13,916

 

 

 

Home Depot Incorporated

 

839

 

Home Depot Incorporated

 

^

 

159,058

 

 

 

Honeywell International

 

539

 

Honeywell International

 

^

 

82,661

 

 

17



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Houghton Mifflin Harcourt Co

 

300

 

Houghton Mifflin Harcourt Co

 

^

 

2,790

 

 

 

Hsbc Hldgs PLC

 

1

 

Hsbc Hldgs PLC

 

^

 

52

 

 

 

Ignyta Inc (acquired 02/09/18)

 

578

 

Ignyta Inc (acquired 02/09/18)

 

^

 

15,433

 

 

 

Illumina Inc

 

75

 

Illumina Inc

 

^

 

16,387

 

 

 

Immunicon Corp (Delisted 7/25/2014)

 

6,000

 

Immunicon Corp (Delisted 7/25/2014)

 

^

 

0

 

 

 

Immunocellular Therapeutics

 

71,250

 

Immunocellular Therapeutics

 

^

 

22,515

 

 

 

Immunogen Inc.

 

16,786

 

Immunogen Inc.

 

^

 

107,598

 

 

 

Ingersoll Rand PLC

 

321

 

Ingersoll Rand PLC

 

^

 

28,630

 

 

 

Inmed Pharmaceuticals Inc

 

1

 

Inmed Pharmaceuticals Inc

 

^

 

1

 

 

 

Intel Corporation

 

267

 

Intel Corporation

 

^

 

12,325

 

 

 

Intellia Therapeutics Inc

 

200

 

Intellia Therapeutics Inc

 

^

 

3,844

 

 

 

Intercept Pharmaceuticals In

 

100

 

Intercept Pharmaceuticals In

 

^

 

5,842

 

 

 

Intl Business Machines Inc

 

193

 

Intl Business Machines Inc

 

^

 

29,656

 

 

 

Invitae Corp

 

50

 

Invitae Corp

 

^

 

454

 

 

 

Invitation Homes Inc

 

142

 

Invitation Homes Inc

 

^

 

3,347

 

 

 

IPG Photonics Corp

 

20

 

IPG Photonics Corp

 

^

 

4,283

 

 

 

Irhythm Technologies Inc

 

11

 

Irhythm Technologies Inc

 

^

 

617

 

 

 

Irobot Corp

 

5

 

Irobot Corp

 

^

 

383

 

 

 

Iron Mountain Inc

 

1,092

 

Iron Mountain Inc

 

^

 

41,201

 

 

 

JD.com Inc-ADR

 

75

 

JD.com Inc-ADR

 

^

 

3,106

 

 

 

Johnson & Johnson

 

760

 

Johnson & Johnson

 

^

 

106,187

 

 

 

JPMorgan Chase & Co

 

949

 

JPMorgan Chase & Co

 

^

 

101,486

 

 

 

Juno Therapeutics Inc (acquired 03/07/18)

 

200

 

Juno Therapeutics Inc (acquired 03/07/18)

 

^

 

9,142

 

 

 

Karyopharm Therapeutics Inc

 

3,000

 

Karyopharm Therapeutics Inc

 

^

 

28,800

 

 

 

Keryx Biopharmaceuticals

 

900

 

Keryx Biopharmaceuticals

 

^

 

4,185

 

 

 

Keycorp

 

275

 

Keycorp

 

^

 

5,547

 

 

 

Kimberly Clark

 

220

 

Kimberly Clark

 

^

 

26,545

 

 

 

Kinder Morgan Inc

 

113

 

Kinder Morgan Inc

 

^

 

2,047

 

 

 

Kroger Co

 

2,600

 

Kroger Co

 

^

 

71,370

 

 

 

Kush Bottles Inc

 

1

 

Kush Bottles Inc

 

^

 

4

 

 

 

Lam Research Corp

 

115

 

Lam Research Corp

 

^

 

21,168

 

 

 

Lamar Advertising Co A

 

40

 

Lamar Advertising Co A

 

^

 

2,970

 

 

 

Lennar Corp

 

100

 

Lennar Corp

 

^

 

6,324

 

 

 

Lennar Corp - B

 

2

 

Lennar Corp - B

 

^

 

103

 

 

 

Lennox Intl Inc

 

30

 

Lennox Intl Inc

 

^

 

6,248

 

 

 

Leucadia Natl Corp

 

390

 

Leucadia Natl Corp

 

^

 

10,331

 

 

 

Lexicon Pharmaceuticals Inc

 

200

 

Lexicon Pharmaceuticals Inc

 

^

 

1,976

 

 

 

Liberty Property Trust

 

110

 

Liberty Property Trust

 

^

 

4,731

 

 

 

Lions Gate Entertainment Corp

 

1

 

Lions Gate Entertainment Corp

 

^

 

34

 

 

 

Lions Gate Entertainment-B

 

1

 

Lions Gate Entertainment-B

 

^

 

32

 

 

 

Liquidity Services Inc

 

250

 

Liquidity Services Inc

 

^

 

1,212

 

 

 

Lithium Americas Corp (lac 01/25/18)

 

250

 

Lithium Americas Corp (lac 01/25/18)

 

^

 

2,225

 

 

 

Lloyds Tsb Group Plc ADR

 

501

 

Lloyds Tsb Group Plc ADR

 

^

 

1,879

 

 

 

Lockheed Martin Corp

 

31

 

Lockheed Martin Corp

 

^

 

9,953

 

 

 

Lowes Co Inc

 

164

 

Lowes Co Inc

 

^

 

15,242

 

 

 

Lsb Industries Inc

 

800

 

Lsb Industries Inc

 

^

 

7,008

 

 

 

Ltc Properties Inc

 

98

 

Ltc Properties Inc

 

^

 

4,268

 

 

 

Lumentum Holdings Inc

 

115

 

Lumentum Holdings Inc

 

^

 

5,624

 

 

 

Macquarie Infrastructure Corp

 

100

 

Macquarie Infrastructure Corp

 

^

 

6,420

 

 

 

Magna Int’l Inc.

 

1,136

 

Magna Int’l Inc.

 

^

 

64,377

 

 

 

Mankind Corp

 

700

 

Mankind Corp

 

^

 

1,624

 

 

 

Marten Transport Ltd

 

200

 

Marten Transport Ltd

 

^

 

4,060

 

 

18



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Mastercard Inc A

 

900

 

Mastercard Inc A

 

^

 

136,224

 

 

 

Matson Inc

 

125

 

Matson Inc

 

^

 

3,730

 

 

 

Maxim Integrated Prods Inc

 

100

 

Maxim Integrated Prods Inc

 

^

 

5,228

 

 

 

Mcdermott Int’l

 

1,897

 

Mcdermott Int’l

 

^

 

12,482

 

 

 

Mcdonalds Corp

 

541

 

Mcdonalds Corp

 

^

 

93,117

 

 

 

Medical Marijuana Inc

 

39,200

 

Medical Marijuana Inc

 

^

 

5,868

 

 

 

Medical Properties Trust Inc

 

1,311

 

Medical Properties Trust Inc

 

^

 

18,068

 

 

 

Medtronic PLC

 

79

 

Medtronic PLC

 

^

 

6,340

 

 

 

Merck & Company Inc

 

686

 

Merck & Company Inc

 

^

 

38,601

 

 

 

Mercury Gen Corp

 

100

 

Mercury Gen Corp

 

^

 

5,344

 

 

 

Michael Kors Hldgs Ltd Shs

 

143

 

Michael Kors Hldgs Ltd Shs

 

^

 

9,002

 

 

 

Microchip Technology

 

5

 

Microchip Technology

 

^

 

439

 

 

 

Micron Tech. Inc.

 

170

 

Micron Tech. Inc.

 

^

 

6,990

 

 

 

Microsoft Corporation

 

1,623

 

Microsoft Corporation

 

^

 

138,816

 

 

 

Microvision Inc

 

1,600

 

Microvision Inc

 

^

 

2,608

 

 

 

Mid America Apt Community

 

40

 

Mid America Apt Community

 

^

 

4,022

 

 

 

Mimedx Group Inc

 

1

 

Mimedx Group Inc

 

^

 

13

 

 

 

MMC Norilsk Nickel ADR

 

600

 

MMC Norilsk Nickel ADR

 

^

 

11,346

 

 

 

Mobile Telesys Ojsc Spon Adr

 

701

 

Mobile Telesys Ojsc Spon Adr

 

^

 

7,143

 

 

 

Mobileye Nv

 

1

 

Mobileye Nv

 

^

 

63

 

 

 

Mogo Finance Technology Inc

 

101

 

Mogo Finance Technology Inc

 

^

 

490

 

 

 

Molson Coors Brewing Co-B

 

424

 

Molson Coors Brewing Co-B

 

^

 

34,835

 

 

 

Mondelez International Inc

 

101

 

Mondelez International Inc

 

^

 

4,323

 

 

 

Monsanto Company

 

10

 

Monsanto Company

 

^

 

1,184

 

 

 

Monster Beverage Corp

 

120

 

Monster Beverage Corp

 

^

 

7,595

 

 

 

MSG Networks Inc

 

350

 

MSG Networks Inc

 

^

 

7,088

 

 

 

Myriad Genetics Inc

 

100

 

Myriad Genetics Inc

 

^

 

3,435

 

 

 

Namaste Technologies Inc

 

101

 

Namaste Technologies Inc

 

^

 

238

 

 

 

Nantkwest Inc

 

10,000

 

Nantkwest Inc

 

^

 

44,900

 

 

 

Nate’s Food Co

 

1,017,308

 

Nate’s Food Co

 

^

 

916

 

 

 

National Bank Of Greece ADR (delisted 3/6/18)

 

36,815

 

National Bank Of Greece ADR (delisted 3/6/18)

 

^

 

11,928

 

 

 

National Retail Properties Inc

 

110

 

National Retail Properties Inc

 

^

 

4,744

 

 

 

Neos Therapeutics Inc

 

200

 

Neos Therapeutics Inc

 

^

 

2,040

 

 

 

Netflix Inc

 

30

 

Netflix Inc

 

^

 

5,759

 

 

 

Netgear Inc

 

292

 

Netgear Inc

 

^

 

17,155

 

 

 

New Mountain Finance Corp

 

2,000

 

New Mountain Finance Corp

 

^

 

27,100

 

 

 

Newlink Genetics Corp

 

200

 

Newlink Genetics Corp

 

^

 

1,622

 

 

 

Newmont Mining Corp

 

150

 

Newmont Mining Corp

 

^

 

5,628

 

 

 

Nextera Energy Inc

 

249

 

Nextera Energy Inc

 

^

 

38,891

 

 

 

Nike Inc.

 

125

 

Nike Inc.

 

^

 

7,819

 

 

 

Nintendo Ltd Adr New Japan

 

117

 

Nintendo Ltd Adr New Japan

 

^

 

5,273

 

 

 

Noble Corp PLC

 

200

 

Noble Corp PLC

 

^

 

904

 

 

 

Noble Energy Inc

 

101

 

Noble Energy Inc

 

^

 

2,938

 

 

 

Nordic American Offshore Ltd

 

12

 

Nordic American Offshore Ltd

 

^

 

14

 

 

 

Nordic American Tankers Ltd

 

3,902

 

Nordic American Tankers Ltd

 

^

 

9,599

 

 

 

Nortel Networks (delisted 10/14/15)

 

2

 

Nortel Networks (delisted 10/14/15)

 

^

 

0

 

 

 

North American Cannabis Holding

 

8,000,000

 

North American Cannabis Holding

 

^

 

5,600

 

 

 

Northrop Grumman Corp

 

144

 

Northrop Grumman Corp

 

^

 

44,195

 

 

 

Novavax Inc.

 

13,500

 

Novavax Inc.

 

^

 

16,740

 

 

 

Novocure Ltd

 

200

 

Novocure Ltd

 

^

 

4,040

 

 

 

Nutanix Inc - A

 

1

 

Nutanix Inc - A

 

^

 

35

 

 

 

Nutrafuels Inc

 

101

 

Nutrafuels Inc

 

^

 

67

 

 

19



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Nvidia Corp

 

1,397

 

Nvidia Corp

 

^

 

270,320

 

 

 

NXP Semiconductors Nv

 

348

 

NXP Semiconductors Nv

 

^

 

40,747

 

 

 

Ocular Therapeutix Inc

 

3,100

 

Ocular Therapeutix Inc

 

^

 

13,795

 

 

 

Okta Inc

 

105

 

Okta Inc

 

^

 

2,689

 

 

 

Omeros Corp

 

300

 

Omeros Corp

 

^

 

5,829

 

 

 

On Track Innovations Ltd

 

300

 

On Track Innovations Ltd

 

^

 

408

 

 

 

One Gas Inc

 

79

 

One Gas Inc

 

^

 

5,788

 

 

 

Orchids Paper Products Co

 

400

 

Orchids Paper Products Co

 

^

 

5,120

 

 

 

Orezone Gold Corp

 

300

 

Orezone Gold Corp

 

^

 

168

 

 

 

Organigram Holdings Inc

 

250

 

Organigram Holdings Inc

 

^

 

809

 

 

 

Organovo Holdings Inc

 

200

 

Organovo Holdings Inc

 

^

 

268

 

 

 

Owc Pharmaceutical Research

 

1,001

 

Owc Pharmaceutical Research

 

^

 

455

 

 

 

Pacific Premier Bancorp Inc

 

100

 

Pacific Premier Bancorp Inc

 

^

 

4,000

 

 

 

Pandora Media Inc

 

860

 

Pandora Media Inc

 

^

 

4,145

 

 

 

Paratek Pharmaceuticals Inc

 

200

 

Paratek Pharmaceuticals Inc

 

^

 

3,580

 

 

 

Parker Hannifin Corp

 

10

 

Parker Hannifin Corp

 

^

 

1,996

 

 

 

Paychex Inc

 

50

 

Paychex Inc

 

^

 

3,404

 

 

 

Paypal Holdings Inc

 

30

 

Paypal Holdings Inc

 

^

 

2,209

 

 

 

PDL Biopharma Inc

 

3,000

 

PDL Biopharma Inc

 

^

 

8,220

 

 

 

Pengrowth Energy Corp

 

860

 

Pengrowth Energy Corp

 

^

 

683

 

 

 

Pepsico Inc

 

1,184

 

Pepsico Inc

 

^

 

141,985

 

 

 

Perrigo Co PLC

 

482

 

Perrigo Co PLC

 

^

 

42,011

 

 

 

Petersen Cos Inc Cl A

 

200

 

Petersen Cos Inc Cl A

 

^

 

172

 

 

 

Petroleo Brasileiro Spon Adr

 

706

 

Petroleo Brasileiro Spon Adr

 

^

 

7,265

 

 

 

Pfizer Incorporated

 

1,260

 

Pfizer Incorporated

 

^

 

45,637

 

 

 

Pg&e Corp

 

328

 

Pg&e Corp

 

^

 

14,704

 

 

 

Philip Morris International

 

307

 

Philip Morris International

 

^

 

32,452

 

 

 

Phillips 66

 

50

 

Phillips 66

 

^

 

5,058

 

 

 

Pioneer Natural Resources Co

 

60

 

Pioneer Natural Resources Co

 

^

 

10,374

 

 

 

Pnc Financial Svc Group

 

375

 

Pnc Financial Svc Group

 

^

 

54,109

 

 

 

Portola Pharmaceuticals Inc

 

400

 

Portola Pharmaceuticals Inc

 

^

 

19,472

 

 

 

Portugal Telecomm Sgps S A Sponsored ADR

 

11,001

 

Portugal Telecomm Sgps S A Sponsored ADR

 

^

 

2,723

 

 

 

Ppl Corp

 

3,120

 

Ppl Corp

 

^

 

96,564

 

 

 

Precipio Inc

 

13

 

Precipio Inc

 

^

 

16

 

 

 

Preferred Bank/Los Angeles

 

3

 

Preferred Bank/Los Angeles

 

^

 

176

 

 

 

Priceline Group Inc/The (bkng 02/27/18)

 

4

 

Priceline Group Inc/The (bkng 02/27/18)

 

^

 

6,951

 

 

 

Procter & Gamble Co

 

800

 

Procter & Gamble Co

 

^

 

73,504

 

 

 

Progenics Pharmaceuticals Inc

 

4,200

 

Progenics Pharmaceuticals Inc

 

^

 

24,990

 

 

 

Prudential Finl Inc

 

605

 

Prudential Finl Inc

 

^

 

69,563

 

 

 

PTC Inc

 

100

 

PTC Inc

 

^

 

6,077

 

 

 

Pulte Group Inc

 

2,481

 

Pulte Group Inc

 

^

 

82,493

 

 

 

Puma Biotechnology Inc

 

10,000

 

Puma Biotechnology Inc

 

^

 

988,500

 

 

 

Puration Inc

 

420,000

 

Puration Inc

 

^

 

31,080

 

 

 

Qiwi Plc-Sponsored ADR

 

501

 

Qiwi Plc-Sponsored ADR

 

^

 

8,682

 

 

 

Qorvo Inc

 

2,403

 

Qorvo Inc

 

^

 

160,040

 

 

 

Qualcomm

 

460

 

Qualcomm

 

^

 

29,447

 

 

 

Quality Systems Inc

 

765

 

Quality Systems Inc

 

^

 

10,383

 

 

 

Quantenna Communications Inc

 

265

 

Quantenna Communications Inc

 

^

 

3,233

 

 

 

Qudian Inc Spon ADR

 

1

 

Qudian Inc Spon ADR

 

^

 

13

 

 

 

Quotient Ltd

 

573

 

Quotient Ltd

 

^

 

2,836

 

 

 

Radius Health Inc

 

100

 

Radius Health Inc

 

^

 

3,177

 

 

 

Range Resource Corp.

 

600

 

Range Resource Corp.

 

^

 

10,236

 

 

20



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Raytheon Co

 

200

 

Raytheon Co

 

^

 

37,570

 

 

 

Red Hat Inc

 

66

 

Red Hat Inc

 

^

 

7,927

 

 

 

Redfin Corp

 

65

 

Redfin Corp

 

^

 

2,036

 

 

 

Regions Finl Corp Com

 

400

 

Regions Finl Corp Com

 

^

 

6,912

 

 

 

Restaurant Brands Intl Inc

 

216

 

Restaurant Brands Intl Inc

 

^

 

13,260

 

 

 

Revolution Lighting Technologies Inc

 

375

 

Revolution Lighting Technologies Inc

 

^

 

1,234

 

 

 

Rio Tinto PLC ADR

 

1

 

Rio Tinto PLC ADR

 

^

 

53

 

 

 

Riot Blockchain Inc

 

400

 

Riot Blockchain Inc

 

^

 

11,360

 

 

 

Rite Aid Corp

 

6,036

 

Rite Aid Corp

 

^

 

11,891

 

 

 

Roku Inc

 

2,106

 

Roku Inc

 

^

 

109,049

 

*

 

Royal Bank Of Canada

 

1,013,538

 

Royal Bank Of Canada

 

^

 

82,755,347

 

 

 

Royal Bank Of Scotland Spons ADR

 

2,037

 

Royal Bank Of Scotland Spons ADR

 

^

 

15,563

 

 

 

Royal Gold Inc

 

280

 

Royal Gold Inc

 

^

 

22,994

 

 

 

Royal Ptt Nederland Adr

 

1,000

 

Royal Ptt Nederland Adr

 

^

 

3,500

 

 

 

Sabine Royalty Tr

 

140

 

Sabine Royalty Tr

 

^

 

6,244

 

 

 

Sage Therapeutics Inc

 

100

 

Sage Therapeutics Inc

 

^

 

16,471

 

 

 

Salesforce.Com Inc

 

101

 

Salesforce.Com Inc

 

^

 

10,325

 

 

 

Samaritan Pharmaceuticals (Delisted 8/15/2011)

 

1,166

 

Samaritan Pharmaceuticals (Delisted 8/15/2011)

 

^

 

0

 

 

 

Sandstorm Gold Ltd

 

600

 

Sandstorm Gold Ltd

 

^

 

2,994

 

 

 

Sangamo Therapeutics Inc

 

10,000

 

Sangamo Therapeutics Inc

 

^

 

164,000

 

 

 

Sanofi - Aventis Sa Adr

 

10

 

Sanofi - Aventis Sa Adr

 

^

 

430

 

 

 

Santander Consumer USA Holdi

 

1

 

Santander Consumer USA Holdi

 

^

 

19

 

 

 

Sarepta Therapeutics Inc

 

2,400

 

Sarepta Therapeutics Inc

 

^

 

133,536

 

 

 

Schlumberger Ltd

 

260

 

Schlumberger Ltd

 

^

 

17,521

 

 

 

Science Applications Intl Corp

 

100

 

Science Applications Intl Corp

 

^

 

7,657

 

 

 

Scotts Miracle-Gro Co Cl A

 

10

 

Scotts Miracle-Gro Co Cl A

 

^

 

1,094

 

 

 

Seabridge Res Inc

 

325

 

Seabridge Res Inc

 

^

 

3,672

 

 

 

Seadrill Ltd

 

3,020

 

Seadrill Ltd

 

^

 

699

 

 

 

Seanergy Maritime Holdings

 

1,000

 

Seanergy Maritime Holdings

 

^

 

1,040

 

 

 

Sendgrid Inc

 

277

 

Sendgrid Inc

 

^

 

6,640

 

 

 

Shake Shack Inc - Class A

 

120

 

Shake Shack Inc - Class A

 

^

 

5,184

 

 

 

Shire PLC ADR

 

65

 

Shire PLC ADR

 

^

 

10,083

 

 

 

Shopify Inc - A

 

1

 

Shopify Inc - A

 

^

 

101

 

 

 

Silicon Laboratories

 

10

 

Silicon Laboratories

 

^

 

883

 

 

 

Sirius XM Holdings Inc

 

100

 

Sirius XM Holdings Inc

 

^

 

536

 

 

 

Six Flags Entertainment Corp

 

75

 

Six Flags Entertainment Corp

 

^

 

4,993

 

 

 

Snap Inc - A

 

2,526

 

Snap Inc - A

 

^

 

36,905

 

 

 

Sodastream International Ltd

 

300

 

Sodastream International Ltd

 

^

 

21,102

 

 

 

Solis Tek Inc

 

200

 

Solis Tek Inc

 

^

 

445

 

 

 

Southern Company

 

2,000

 

Southern Company

 

^

 

96,180

 

 

 

Southwestern Energy Co

 

1,712

 

Southwestern Energy Co

 

^

 

9,553

 

 

 

Spark Therapeutics Inc

 

25

 

Spark Therapeutics Inc

 

^

 

1,285

 

 

 

Splunk Inc

 

50

 

Splunk Inc

 

^

 

4,142

 

 

 

Square Inc - A

 

256

 

Square Inc - A

 

^

 

8,876

 

 

 

SS&C Technologies Holdings

 

50

 

SS&C Technologies Holdings

 

^

 

2,024

 

 

 

Stag Industrial Inc

 

200

 

Stag Industrial Inc

 

^

 

5,466

 

 

 

Starbucks Corp.

 

1,160

 

Starbucks Corp.

 

^

 

66,641

 

 

 

Starpharma Holdings-Spon Adr

 

11,600

 

Starpharma Holdings-Spon Adr

 

^

 

120,408

 

 

 

Starwood Property Trust Inc

 

441

 

Starwood Property Trust Inc

 

^

 

9,415

 

 

 

StatoilHydro Asa-Spon Adr

 

240

 

StatoilHydro Asa-Spon Adr

 

^

 

5,141

 

 

 

Stemline Therapeutics Inc

 

4,000

 

Stemline Therapeutics Inc

 

^

 

62,400

 

 

 

Stereotaxis Inc

 

63,000

 

Stereotaxis Inc

 

^

 

50,400

 

 

21



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Stmicroelectronics Nv

 

181

 

Stmicroelectronics Nv

 

^

 

3,951

 

 

 

Strata Skin Sciences Inc

 

800

 

Strata Skin Sciences Inc

 

^

 

984

 

 

 

Stratasys LTD

 

100

 

Stratasys LTD

 

^

 

1,996

 

 

 

Suncor Energy Inc

 

140

 

Suncor Energy Inc

 

^

 

5,141

 

 

 

Sunpower Corp

 

750

 

Sunpower Corp

 

^

 

6,322

 

 

 

Suntrust Banks

 

728

 

Suntrust Banks

 

^

 

47,022

 

 

 

Switch Inc - A

 

800

 

Switch Inc - A

 

^

 

14,552

 

 

 

Synergy Pharmaceuticals Inc

 

6,600

 

Synergy Pharmaceuticals Inc

 

^

 

14,718

 

 

 

Synopsys Inc

 

25

 

Synopsys Inc

 

^

 

2,131

 

 

 

Sysco Corp

 

55

 

Sysco Corp

 

^

 

3,340

 

 

 

Tableau Software Inc-Cl A

 

110

 

Tableau Software Inc-Cl A

 

^

 

7,612

 

 

 

Taiwan Semiconductor

 

80

 

Taiwan Semiconductor

 

^

 

3,172

 

 

 

Tanger Factory Outlet Centrs

 

280

 

Tanger Factory Outlet Centrs

 

^

 

7,423

 

 

 

Target Corp

 

280

 

Target Corp

 

^

 

18,270

 

 

 

Taseko Mines LTD

 

10,000

 

Taseko Mines LTD

 

^

 

23,300

 

 

 

TEGNA Inc

 

350

 

TEGNA Inc

 

^

 

4,928

 

 

 

Tencent Holdings Ltd ADR

 

198

 

Tencent Holdings Ltd ADR

 

^

 

10,297

 

 

 

Teranga Gold Corp

 

40

 

Teranga Gold Corp

 

^

 

95

 

 

 

Terra Tech Corp (trtcd 3/13/18)

 

15,000

 

Terra Tech Corp (trtcd 3/13/18)

 

^

 

5,805

 

 

 

Tesaro Inc

 

100

 

Tesaro Inc

 

^

 

8,287

 

 

 

Tesla Inc

 

1

 

Tesla Inc

 

^

 

311

 

 

 

Teva Pharmaceutical Industries LTD ADR

 

31,000

 

Teva Pharmaceutical Industries LTD ADR

 

^

 

587,450

 

 

 

Texas Instruments Inc

 

141

 

Texas Instruments Inc

 

^

 

14,726

 

 

 

Textron Inc

 

145

 

Textron Inc

 

^

 

8,206

 

 

 

TG Therapeutics Inc

 

400

 

TG Therapeutics Inc

 

^

 

3,280

 

 

 

The Kraft Heinz Co

 

133

 

The Kraft Heinz Co

 

^

 

10,342

 

 

 

The Medicines Inc

 

100

 

The Medicines Inc

 

^

 

2,734

 

 

 

The Mosaic Co

 

1,240

 

The Mosaic Co

 

^

 

31,818

 

 

 

The Wendy’s Co

 

100

 

The Wendy’s Co

 

^

 

1,642

 

 

 

Thermo Fisher Scientific Inc

 

482

 

Thermo Fisher Scientific Inc

 

^

 

91,522

 

 

 

Tilly’s Inc-Class A Shrs

 

350

 

Tilly’s Inc-Class A Shrs

 

^

 

5,166

 

 

 

Time Warner Inc

 

420

 

Time Warner Inc

 

^

 

38,417

 

 

 

Total Fina Elf Sa Adr

 

102

 

Total Fina Elf Sa Adr

 

^

 

5,640

 

 

 

Transenterix Inc

 

1,945

 

Transenterix Inc

 

^

 

3,754

 

 

 

Transocean Ltd

 

101

 

Transocean Ltd

 

^

 

1,079

 

 

 

Travelers Cos Inc

 

5

 

Travelers Cos Inc

 

^

 

678

 

 

 

Trevena Inc

 

1,800

 

Trevena Inc

 

^

 

2,880

 

 

 

Triangle Capital Corp

 

4,000

 

Triangle Capital Corp

 

^

 

37,960

 

 

 

Trinity Industries Inc.

 

400

 

Trinity Industries Inc.

 

^

 

14,984

 

 

 

Tronox Inc/New

 

300

 

Tronox Inc/New

 

^

 

6,153

 

 

 

Tucows Inc

 

100

 

Tucows Inc

 

^

 

7,005

 

 

 

Twilio Inc - A

 

1,150

 

Twilio Inc - A

 

^

 

27,140

 

 

 

Twitter Inc

 

11,595

 

Twitter Inc

 

^

 

278,396

 

 

 

Tyson Foods Inc Cl A

 

135

 

Tyson Foods Inc Cl A

 

^

 

10,944

 

 

 

UBS Group AG

 

1

 

UBS Group AG

 

^

 

18

 

 

 

Ultragenyx Pharmaceutical In

 

250

 

Ultragenyx Pharmaceutical In

 

^

 

11,595

 

 

 

Under Armor Inc - Cl A

 

305

 

Under Armor Inc - Cl A

 

^

 

4,401

 

 

 

Under Armor Inc - CL C

 

1,600

 

Under Armor Inc - CL C

 

^

 

21,312

 

 

 

Union Pacific Corp.

 

400

 

Union Pacific Corp.

 

^

 

53,640

 

 

 

Unitedhealth Group Inc

 

473

 

Unitedhealth Group Inc

 

^

 

104,278

 

 

 

Uniti Group Inc

 

1,000

 

Uniti Group Inc

 

^

 

17,790

 

 

 

Universal Display Corp

 

5

 

Universal Display Corp

 

^

 

863

 

 

22



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Urban Outfitters Inc

 

200

 

Urban Outfitters Inc

 

^

 

7,012

 

 

 

Urogen Pharma Ltd

 

100

 

Urogen Pharma Ltd

 

^

 

3,721

 

 

 

US Bancorp - Del

 

1,201

 

US Bancorp - Del

 

^

 

64,350

 

 

 

Us Global Nanospace Inc

 

2,000

 

Us Global Nanospace Inc

 

^

 

2

 

 

 

V.F. Corp.

 

100

 

V.F. Corp.

 

^

 

7,400

 

 

 

Valeant Pharmaceuticals Intl

 

3,221

 

Valeant Pharmaceuticals Intl

 

^

 

66,932

 

 

 

Vantiv Inc — Cl A (wp 01/16/18 )

 

11

 

Vantiv Inc — Cl A (wp 01/16/18 )

 

^

 

809

 

 

 

Vector Group Ltd

 

142

 

Vector Group Ltd

 

^

 

3,178

 

 

 

Vedanta Ltd

 

1

 

Vedanta Ltd

 

^

 

21

 

 

 

Veeva Systems Inc-Class A

 

90

 

Veeva Systems Inc-Class A

 

^

 

4,975

 

 

 

Veolia Environnement ADR

 

1

 

Veolia Environnement ADR

 

^

 

25

 

 

 

Verastem Inc

 

500

 

Verastem Inc

 

^

 

1,535

 

 

 

Veritas Pharma Inc

 

1

 

Veritas Pharma Inc

 

^

 

1

 

 

 

Verizon Communications

 

4,278

 

Verizon Communications

 

^

 

226,442

 

 

 

Versartis Inc

 

100

 

Versartis Inc

 

^

 

220

 

 

 

Visa Inc Class A Shares

 

1,103

 

Visa Inc Class A Shares

 

^

 

125,764

 

 

 

VMWare Inc Class A

 

41

 

VMWare Inc Class A

 

^

 

5,138

 

 

 

Vulcan Matls Co

 

40

 

Vulcan Matls Co

 

^

 

5,135

 

 

 

W P Carey Inc

 

65

 

W P Carey Inc

 

^

 

4,478

 

 

 

Wabtec

 

90

 

Wabtec

 

^

 

7,329

 

 

 

Waddell & Reed Financial Cl A

 

1

 

Waddell & Reed Financial Cl A

 

^

 

22

 

 

 

Walgreens Boots Alliance Inc

 

210

 

Walgreens Boots Alliance Inc

 

^

 

15,264

 

 

 

Walmart Inc

 

1,608

 

Walmart Inc

 

^

 

158,811

 

 

 

Waste Management Inc

 

500

 

Waste Management Inc

 

^

 

43,150

 

 

 

Wells Fargo & Co New

 

202

 

Wells Fargo & Co New

 

^

 

12,249

 

 

 

Welltower Inc (well 02/28/18)

 

40

 

Welltower Inc (well 02/28/18)

 

^

 

2,551

 

 

 

Western Digital Corp

 

3,900

 

Western Digital Corp

 

^

 

310,167

 

 

 

Westlake Chemical Corp

 

271

 

Westlake Chemical Corp

 

^

 

28,870

 

 

 

Westport Innovations Inc

 

500

 

Westport Innovations Inc

 

^

 

1,880

 

 

 

Wheaton Precious Metals Corp

 

290

 

Wheaton Precious Metals Corp

 

^

 

6,418

 

 

 

Williams Co.

 

201

 

Williams Co.

 

^

 

6,128

 

 

 

WPX Energy Inc

 

1,300

 

WPX Energy Inc

 

^

 

18,291

 

 

 

Xcel Energy Inc

 

60

 

Xcel Energy Inc

 

^

 

2,887

 

 

 

Xilinx Inc

 

5

 

Xilinx Inc

 

^

 

337

 

 

 

Yellow Media Ltd

 

25

 

Yellow Media Ltd

 

^

 

168

 

 

 

Yext Inc

 

4,000

 

Yext Inc

 

^

 

48,120

 

 

 

Yum China Holdings Inc

 

200

 

Yum China Holdings Inc

 

^

 

8,004

 

 

 

Yum! Brands Inc.

 

200

 

Yum! Brands Inc.

 

^

 

16,322

 

 

 

Zayo Group Holdings Inc

 

25

 

Zayo Group Holdings Inc

 

^

 

920

 

 

 

Zenosense Inc

 

750

 

Zenosense Inc

 

^

 

262

 

 

 

Zoetis Inc

 

685

 

Zoetis Inc

 

^

 

49,347

 

 

 

Zogenix Inc

 

400

 

Zogenix Inc

 

^

 

16,020

 

 

 

Zosano Pharma Corp (zsan 01/26/18)

 

200

 

Zosano Pharma Corp (zsan 01/26/18)

 

^

 

104

 

 

 

Bank Of America Corp-Cw19

 

20,000

 

Bank Of America Corp-Cw19

 

^

 

351,200

 

 

 

Citigroup Inc Cw19

 

100,000

 

Citigroup Inc Cw19

 

^

 

10,010

 

 

 

Silverbow Resources Inc

 

9

 

Silverbow Resources Inc

 

^

 

2

 

 

 

Silverbow Resources Inc

 

9

 

Silverbow Resources Inc

 

^

 

2

 

 

 

Yellow Media Ltd-Cw22

 

14

 

Yellow Media Ltd-Cw22

 

^

 

6

 

 

 

 

 

 

 

TOTAL COMMON STOCKS

 

 

 

103,652,892

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

COMMON COLLECTIVE FUNDS

 

 

 

 

 

 

 

 

 

 

 

Loomis Sayles Large Cap Growth Trust C

 

2,076,782

 

Loomis Sayles Large Cap Growth Trust C

 

^

 

41,909,461

 

 

23



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Prudential Core Plus Bond Fund Class 5

 

284,532

 

Prudential Core Plus Bond Fund Class 5

 

^

 

45,946,278

 

 

 

 

 

 

 

TOTAL COMMON COLLECTIVE FUNDS

 

 

 

87,855,739

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

MUTUAL FUNDS

 

 

 

 

 

 

 

 

 

 

 

Aberdeen Asia Pacific Income Fd

 

2,672

 

Aberdeen Asia Pacific Income Fd

 

^

 

13,041

 

 

 

Akre Focus Fund-Ret

 

2,285

 

Akre Focus Fund-Ret

 

^

 

74,064

 

 

 

Alerian Mlp ETF

 

250

 

Alerian Mlp ETF

 

^

 

2,698

 

 

 

Alps International Sector Di

 

200

 

Alps International Sector Di

 

^

 

5,730

 

 

 

Alps Sector Dividend Dogs

 

125

 

Alps Sector Dividend Dogs

 

^

 

5,725

 

 

 

Amcent Select Inv

 

71

 

Amcent Select Inv

 

^

 

5,007

 

 

 

Amer Funds New Persp F

 

123

 

Amer Funds New Persp F

 

^

 

5,283

 

 

 

American Funds - New World Fun

 

489,340

 

American Funds - New World Fun

 

^

 

32,727,037

 

 

 

Boulder Growth & Income Fund

 

200

 

Boulder Growth & Income Fund

 

^

 

2,218

 

 

 

Brookfield Gl Listed Real Estate Fund - Cl Y

 

22,803

 

Brookfield Gl Listed Real Estate Fund - Cl Y

 

^

 

304,875

 

 

 

Brookfield Global Listed Inf

 

967

 

Brookfield Global Listed Inf

 

^

 

12,503

 

 

 

Brown Cap Small Co Instl

 

596

 

Brown Cap Small Co Instl

 

^

 

53,230

 

 

 

Calamos Conv Opp Inc Sbi

 

1,448

 

Calamos Conv Opp Inc Sbi

 

^

 

16,208

 

 

 

Calamos Convertible & High Income

 

7,225

 

Calamos Convertible & High Income

 

^

 

85,618

 

 

 

Calamos Global Total Return

 

2,000

 

Calamos Global Total Return

 

^

 

30,120

 

 

 

Cambria Global Asset Allocat

 

400

 

Cambria Global Asset Allocat

 

^

 

10,994

 

 

 

Cambria Global Momentum Etf

 

500

 

Cambria Global Momentum Etf

 

^

 

13,695

 

 

 

Cambria Shareholder Yield Et

 

1,000

 

Cambria Shareholder Yield Et

 

^

 

38,390

 

 

 

Carillon Eagle Small Cap Growth Fund R5

 

470,007

 

Carillon Eagle Small Cap Growth Fund R5

 

^

 

29,558,730

 

 

 

Carillon Scout Mid Cap Fund Class I

 

77

 

Carillon Scout Mid Cap Fund Class I

 

^

 

1,465

 

*

 

City National Rochdale High Yield Bond-Sv

 

9,045

 

City Natl High Yield Bond-Sv

 

^

 

72,448

 

*

 

City National Rochdale Dividend & Income Fund Cl N

 

9,118

 

City National Rochdale Dividend & Income Fund Cl N

 

^

 

367,439

 

*

 

City National Rochdale Emerging Markets Fund Cl N

 

2,886

 

City National Rochdale Emerging Markets Fund Cl N

 

^

 

149,960

 

*

 

City National Rochdale Fixed Income Opportunities Fund Cl N

 

106,992

 

City National Rochdale Fixed Income Opportunities Fund Cl N

 

^

 

2,744,338

 

*

 

City National Rochdale Government Bond Fund Instl

 

2,114,220

 

City National Rochdale Government Bond Fund Instl

 

^

 

21,966,745

 

*

 

City National Rochdale Government Bond Fund Svc

 

53,339

 

City National Rochdale Government Bond Fund Svc

 

^

 

554,193

 

*

 

City National Rochdale High Yield Bd Fd - Ins #2645

 

3,969,778

 

CNR High Yield Bd Fd - Ins #2645

 

^

 

31,837,618

 

*

 

City National Rochdale Corp Bd-Sv

 

129,393

 

Cty Natl Rochdale Corp Bd-Sv

 

^

 

1,340,507

 

*

 

City National Rochdale Em Mkt-Y

 

25,815

 

City Natl Rochdale Em Mkt-Y

 

^

 

1,344,425

 

*

 

City National Rochdale Us Cre-Srv

 

2,502

 

Cty Natl Rochdale Us Cre-Srv

 

^

 

41,403

 

 

 

Columbia Mid Cap Value Fund Instl 3

 

764,203

 

Columbia Mid Cap Value Fund Instl 3

 

^

 

10,439,009

 

 

 

Currencyshares Canadian Doll

 

80

 

Currencyshares Canadian Doll

 

^

 

6,280

 

 

 

Delaware Small Cap Value I

 

390,825

 

Delaware Small Cap Value I

 

^

 

27,158,449

 

 

 

Direxion Daily Csi China Int

 

21

 

Direxion Daily Csi China Int

 

^

 

1,073

 

 

 

Direxion Daily FTSE China Bull 3X Shares

 

200

 

Direxion Daily FTSE China Bull 3X Shares

 

^

 

6,804

 

 

 

Direxion Daily Latin America

 

24

 

Direxion Daily Latin America

 

^

 

775

 

 

 

Dodge & Cox Income

 

3,884

 

Dodge & Cox Income

 

^

 

53,440

 

 

 

Doubleline Total Return Bond N

 

7,996

 

Doubleline Total Return Bond N

 

^

 

84,913

 

 

 

Drxn Daily S&P Biotech Bull

 

1

 

Drxn Daily S&P Biotech Bull

 

^

 

78

 

 

 

Drxn Daily S&P Oil&Gas Bear

 

410

 

Drxn Daily S&P Oil&Gas Bear

 

^

 

4,863

 

 

 

Eaton Vance Fl Rate Adv-I

 

6,028

 

Eaton Vance Fl Rate Adv-I

 

^

 

65,641

 

 

 

Eaton Vance Ltd Duration Income

 

2,000

 

Eaton Vance Ltd Duration Income

 

^

 

27,300

 

 

 

Eaton Vance Sr Floating Rate Fund

 

100

 

Eaton Vance Sr Floating Rate Fund

 

^

 

1,444

 

 

 

Eaton Vance Tax - Managed Glob

 

2,016

 

Eaton Vance Tax - Managed Glob

 

^

 

18,913

 

 

 

EuroPacific Growth R6

 

859,873

 

EuroPacific Growth R6

 

^

 

48,273,284

 

 

 

Fidelity Business & Outsource

 

149

 

Fidelity Business & Outsource

 

^

 

8,123

 

 

 

Fidelity Contrafund

 

244

 

Fidelity Contrafund

 

^

 

29,890

 

 

 

Fidelity Emerging Market

 

269

 

Fidelity Emerging Market

 

^

 

8,798

 

 

24



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Fidelity Info Tech ETF

 

60

 

Fidelity Info Tech ETF

 

^

 

2,998

 

 

 

Fidelity New Markets Inc

 

2,517

 

Fidelity New Markets Inc

 

^

 

40,819

 

 

 

Fidelity Otc

 

316

 

Fidelity Otc

 

^

 

34,705

 

 

 

Fidelity Sel Constr&hous

 

123

 

Fidelity Sel Constr&hous

 

^

 

7,975

 

 

 

Fidelity Sel Defense&aer

 

40

 

Fidelity Sel Defense&aer

 

^

 

6,713

 

 

 

Fidelity Sel Med Equip

 

155

 

Fidelity Sel Med Equip

 

^

 

6,803

 

 

 

Fidelity Sel Retailing

 

62

 

Fidelity Sel Retailing

 

^

 

8,229

 

 

 

Fidelity Select Semiconductors Porfolio

 

76

 

Fidelity Select Semiconductors Porfolio

 

^

 

8,453

 

 

 

Fidelity Select Software and IT Services Portfolio

 

53

 

Fidelity Select Software and IT Services Portfolio

 

^

 

8,788

 

 

 

First Trust Multi Cap Growth

 

3,000

 

First Trust Multi Cap Growth

 

^

 

196,938

 

 

 

Gabelli Equity Tr Inc

 

1,625

 

Gabelli Equity Tr Inc

 

^

 

10,059

 

 

 

Global X Lithium & Battery Tech ETF

 

105

 

Global X Lithium & Battery Tech ETF

 

^

 

4,070

 

 

 

Global X MSCI Columbia ETF

 

343

 

Global X MSCI Columbia ETF

 

^

 

3,441

 

 

 

Guggenheim S&P 500 Equal Weight(rsp 4/09/18)

 

3,150

 

Guggenheim S&P 500 Equal Weight(rsp 4/09/18)

 

^

 

318,245

 

 

 

Harding Loevner Intl Eqty - IN

 

236

 

Harding Loevner Intl Eqty - IN

 

^

 

5,364

 

 

 

Highland/Iboxx Senior Loan E

 

1,796

 

Highland/Iboxx Senior Loan E

 

^

 

32,671

 

 

 

Innovator Ibd Etf Leaders Et

 

600

 

Innovator Ibd Etf Leaders Et

 

^

 

15,330

 

 

 

Ipath S&P 500 VIX S/T Fu ETN

 

150

 

Ipath S&P 500 VIX S/T Fu ETN

 

^

 

4,188

 

 

 

iShares 20+ Year Treasury Bond

 

50

 

iShares 20+ Year Treasury Bond

 

^

 

6,343

 

 

 

iShares China Large-Cap ETF

 

150

 

iShares China Large-Cap ETF

 

^

 

6,926

 

 

 

Ishares Core Dividend Growth

 

150

 

Ishares Core Dividend Growth

 

^

 

5,217

 

 

 

Ishares Core Msci Emerging

 

50

 

Ishares Core Msci Emerging

 

^

 

2,845

 

 

 

Ishares Core S&P 500 ETF

 

75

 

Ishares Core S&P 500 ETF

 

^

 

20,164

 

 

 

Ishares Core S&P Mid-Cap ETF

 

170

 

Ishares Core S&P Mid-Cap ETF

 

^

 

32,263

 

 

 

Ishares Core S&P Small-Cap ETF

 

1,670

 

Ishares Core S&P Small-Cap ETF

 

^

 

128,273

 

 

 

Ishares Core US REIT ETF

 

26

 

Ishares Core US REIT ETF

 

^

 

1,296

 

 

 

Ishares Edge MSCI USA Momentum Factor

 

1,039

 

Ishares Edge MSCI USA Momentum Factor

 

^

 

107,152

 

 

 

Ishares Gold Trust

 

5,235

 

Ishares Gold Trust

 

^

 

65,490

 

 

 

iShares International Develope

 

34

 

iShares International Develope

 

^

 

1,016

 

 

 

Ishares Mortgage Real Estate

 

25

 

Ishares Mortgage Real Estate

 

^

 

1,130

 

 

 

Ishares MSCI Austria ETF

 

300

 

Ishares MSCI Austria ETF

 

^

 

7,392

 

 

 

iShares MSCI Brazil Small-Cap

 

450

 

iShares MSCI Brazil Small-Cap

 

^

 

7,330

 

 

 

iShares MSCI Germany ETF

 

11

 

iShares MSCI Germany ETF

 

^

 

363

 

 

 

Ishares MSCI Italy ETF

 

200

 

Ishares MSCI Italy ETF

 

^

 

6,088

 

 

 

Ishares MSCI Mexico ETF

 

60

 

Ishares MSCI Mexico ETF

 

^

 

2,957

 

 

 

Ishares MSCI Spain ETF

 

11

 

Ishares MSCI Spain ETF

 

^

 

360

 

 

 

Ishares MSCI Switzerland ETF

 

11

 

Ishares MSCI Switzerland ETF

 

^

 

391

 

 

 

Ishares MSCI Taiwan ETF

 

142

 

Ishares MSCI Taiwan ETF

 

^

 

5,142

 

 

 

iShares MSCI USA ETF

 

5

 

iShares MSCI USA ETF

 

^

 

179

 

 

 

iShares Russell 2000 ETF

 

1,000

 

iShares Russell 2000 ETF

 

^

 

152,460

 

 

 

iShares Russell 2000 Growth ETF

 

20

 

iShares Russell 2000 Growth ETF

 

^

 

3,734

 

 

 

ISHARES SILVER TRUST ISHARES

 

2,001

 

ISHARES SILVER TRUST ISHARES

 

^

 

31,996

 

 

 

iShares U.S. Financial Service

 

30

 

iShares U.S. Financial Service

 

^

 

3,913

 

 

 

iShares U.S. Insurance ETF

 

45

 

iShares U.S. Insurance ETF

 

^

 

2,997

 

 

 

iShares US Preferred Stock ETF

 

1,013

 

iShares US Preferred Stock ETF

 

^

 

38,575

 

 

 

iShares US Real Estate ETF

 

80

 

iShares US Real Estate ETF

 

^

 

6,481

 

 

 

iShares USTechnology ETF

 

18

 

iShares USTechnology ETF

 

^

 

2,930

 

 

 

Janus Henderson Enterprise Fund N Shares

 

250,821

 

Janus Henderson Enterprise Fund N Shares

 

^

 

29,744,903

 

 

 

Janus Henderson Global Unconstrained Bond Fund T Shares

 

3,601

 

Janus Henderson Global Unconstrained Bond Fund T Shares

 

^

 

34,460

 

 

 

John Hancock Pfd Income III

 

2,000

 

John Hancock Pfd Income III

 

^

 

37,500

 

 

 

John Hancock Preferred Income Fund

 

3,000

 

John Hancock Preferred Income Fund

 

^

 

64,260

 

 

 

JPMorgan Global Allocat-A

 

271

 

JPMorgan Global Allocat-A

 

^

 

5,038

 

 

25



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Kayne Anderson Energy Total Return

 

6,398

 

Kayne Anderson Energy Total Return

 

^

 

64,359

 

 

 

Kranesh Bosera MSCI China A

 

175

 

Kranesh Bosera MSCI China A

 

^

 

6,027

 

 

 

Kraneshares CSI China Intern

 

11

 

Kraneshares CSI China Intern

 

^

 

645

 

 

 

Liberty All Star Equity Fund

 

100

 

Liberty All Star Equity Fund

 

^

 

630

 

 

 

Matthews India Fund

 

313

 

Matthews India Fund

 

^

 

10,735

 

 

 

Meridian Growth

 

1,138

 

Meridian Growth

 

^

 

47,370

 

 

 

Nuveen Credit Strategies Income Fund

 

3,874

 

Nuveen Credit Strategies Income Fund

 

^

 

31,847

 

 

 

Nuveen Dividend And Income Closed-End Fnd

 

5,000

 

Nuveen Dividend And Income Closed-End Fnd

 

^

 

61,480

 

 

 

Nuveen Floating Rate Income

 

2,000

 

Nuveen Floating Rate Income

 

^

 

22,420

 

 

 

Nuveen Nasdaq 100 Dynamic Ov

 

1,539

 

Nuveen Nasdaq 100 Dynamic Ov

 

^

 

37,259

 

 

 

Nuveen Preferred & Income Opportunities Fund

 

5,370

 

Nuveen Preferred & Income Opportunities Fund

 

^

 

55,529

 

 

 

Nuveen S&P 500 Buy-Write Inc

 

1,038

 

Nuveen S&P 500 Buy-Write Inc

 

^

 

14,791

 

 

 

Oakmark I

 

214

 

Oakmark I

 

^

 

18,057

 

 

 

Oppenheimer Glob A

 

47

 

Oppenheimer Glob A

 

^

 

4,543

 

 

 

Pimco All Asset Fund D (pasa.x 3/23/18)

 

3,111

 

Pimco All Asset Fund D (pasa.x 3/23/18)

 

^

 

37,800

 

 

 

Pimco Corporate & Income Opportunity Fund

 

1,528

 

Pimco Corporate & Income Opportunity Fund

 

^

 

25,150

 

 

 

Pimco Corporate & Income Strategy Fund

 

1,000

 

Pimco Corporate & Income Strategy Fund

 

^

 

17,200

 

 

 

Pimco Dynamic Credit and Mortgaga Income Fund

 

200

 

Pimco Dynamic Credit and Mortgaga Income Fund

 

^

 

4,488

 

 

 

Pimco High Income Fund

 

7,458

 

Pimco High Income Fund

 

^

 

55,639

 

 

 

Pimco Income Fund-D (pona.x 3/23/18)

 

564

 

Pimco Income Fund-D (pona.x 3/23/18)

 

^

 

6,994

 

 

 

Pimco Income Opportunity Fund

 

1,526

 

Pimco Income Opportunity Fund

 

^

 

39,548

 

 

 

Powershares Db Oil 2X Short

 

96

 

Powershares Db Oil 2X Short

 

^

 

8,520

 

 

 

Powershares DWA Smallcap Momentum Portfolio

 

6,500

 

Powershares DWA Smallcap Momentum Portfolio

 

^

 

316,680

 

 

 

Powershares DWS Momentum Portfolio

 

2,533

 

Powershares DWS Momentum Portfolio

 

^

 

130,779

 

 

 

Powershares Emerging Mar Sov De PT

 

80

 

Powershares Emerging Mar Sov De PT

 

^

 

2,363

 

 

 

Powershares Preferred Portfolio

 

265

 

Powershares Preferred Portfolio

 

^

 

3,938

 

 

 

Powershares QQQ Nasdaq 100

 

61

 

Powershares QQQ Nasdaq 100

 

^

 

9,501

 

 

 

Powershares S&P 500 High Dividend Low Volatility Portfolio

 

150

 

Powershares S&P 500 High Dividend Low Volatility Portfolio

 

^

 

6,364

 

 

 

Primecap Odyssey Aggr Growth

 

1,401

 

Primecap Odyssey Aggr Growth

 

^

 

62,127

 

 

 

Proshares Short High Yield

 

400

 

Proshares Short High Yield

 

^

 

9,248

 

 

 

Proshares Short QQQ

 

75

 

Proshares Short QQQ

 

^

 

2,668

 

 

 

Proshares TR Ultra Oil & Gas

 

1

 

Proshares TR Ultra Oil & Gas

 

^

 

40

 

 

 

Proshares Ultra Vix St Future

 

95

 

Proshares Ultra Vix St Future

 

^

 

970

 

 

 

ProShares UltraShort Bloomberg Crude Oil

 

210

 

ProShares UltraShort Bloomberg Crude Oil

 

^

 

5,158

 

 

 

Proshares Ultrashort QQQ

 

500

 

Proshares Ultrashort QQQ

 

^

 

6,695

 

 

 

Proshares Ultrashort Real Estate

 

213

 

Proshares Ultrashort Real Estate

 

^

 

6,226

 

 

 

Proshares Ultrashort S&P 500

 

375

 

Proshares Ultrashort S&P 500

 

^

 

15,394

 

 

 

Proshrs Rsl 2000 Dvd Grw Etf

 

5,827

 

Proshrs Rsl 2000 Dvd Grw Etf

 

^

 

321,592

 

 

 

Prshrs S&P Mid 400 Dvd Arist

 

1,618

 

Prshrs S&P Mid 400 Dvd Arist

 

^

 

88,262

 

 

 

Ranger Equity Bear ETF

 

700

 

Ranger Equity Bear ETF

 

^

 

5,488

 

 

 

Reaves Utility Income Trust

 

200

 

Reaves Utility Income Trust

 

^

 

6,188

 

 

 

Robo Global Robotics and Automation Index

 

10

 

Robo Global Robotics and Automation Index

 

^

 

413

 

 

 

Select Sector Spdr Tr - Industrial

 

625

 

Select Sector Spdr Tr - Industrial

 

^

 

47,294

 

 

 

Select Sector Spdr Utilities

 

1

 

Select Sector Spdr Utilities

 

^

 

53

 

 

 

SPDR Biotech ETF

 

5,100

 

SPDR Biotech ETF

 

^

 

432,837

 

 

 

Spdr Bloomberg Barclays High Yield Bond

 

1,244

 

Spdr Bloomberg Barclays High Yield Bond

 

^

 

45,680

 

 

 

SPDR GOLD TRUST GOLD SHS

 

200

 

SPDR GOLD TRUST GOLD SHS

 

^

 

24,730

 

 

 

Spdr Port Ttl Stck Mrkt

 

27

 

Spdr Port Ttl Stck Mrkt

 

^

 

897

 

 

 

Spdr Portfolio Developed World ex-US ETF

 

57

 

Spdr Portfolio Developed World ex-US ETF

 

^

 

1,807

 

 

 

SPDR Portfolio Emerging Markets ETF

 

8

 

SPDR Portfolio Emerging Markets ETF

 

^

 

305

 

 

 

SPDR Portfolio Mid Cap ETF

 

300

 

SPDR Portfolio Mid Cap ETF

 

^

 

10,008

 

 

 

Spdr Portfolio S&P 500 Growth ETF

 

750

 

Spdr Portfolio S&P 500 Growth ETF

 

^

 

24,750

 

 

26



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

SPDR Portfolio S&P 500 Value ETF

 

20

 

SPDR Portfolio S&P 500 Value ETF

 

^

 

614

 

 

 

Spdr S&P 400 Mid Cap Value E

 

3

 

Spdr S&P 400 Mid Cap Value E

 

^

 

309

 

 

 

SPDR S&P 500 ETF Trust

 

2,151

 

SPDR S&P 500 ETF Trust

 

^

 

574,016

 

 

 

SPDR S&P 600 S/C Value Fund

 

10

 

SPDR S&P 600 S/C Value Fund

 

^

 

1,257

 

 

 

SPDR S&P 600 Small Cap Growth

 

53

 

SPDR S&P 600 Small Cap Growth

 

^

 

12,052

 

 

 

Spdr S&P Dividend

 

2,851

 

Spdr S&P Dividend

 

^

 

269,362

 

 

 

Spdr S&P Midcap 400 EFT Trust

 

350

 

Spdr S&P Midcap 400 EFT Trust

 

^

 

120,893

 

 

 

Sprott Physical Gold Trust

 

1,683

 

Sprott Physical Gold Trust

 

^

 

17,823

 

 

 

Stone Ridge Reinsur Risk Pre

 

22,582

 

Stone Ridge Reinsur Risk Pre

 

^

 

202,788

 

 

 

T Rowe Price Inst Large Cap Value

 

1,873,721

 

T Rowe Price Inst Large Cap Value

 

^

 

43,807,601

 

 

 

T Rowe Price Retire 2035

 

10,205

 

T Rowe Price Retire 2035

 

^

 

193,592

 

 

 

T Rowe Price US Large-Cap Core Fund Inv

 

388

 

T Rowe Price US Large-Cap Core Fund Inv

 

^

 

9,245

 

 

 

T. Rowe Price Cap Apprec

 

3,817

 

T. Rowe Price Cap Apprec

 

^

 

107,935

 

 

 

T. Rowe Price Global Allocation Fund Class Nl

 

399

 

T. Rowe Price Global Allocation Fund Class Nl

 

^

 

5,061

 

 

 

T. Rowe Price Gr Stk

 

161

 

T. Rowe Price Gr Stk

 

^

 

10,072

 

 

 

T. Rowe Price Health Sci

 

1,157

 

T. Rowe Price Health Sci

 

^

 

81,390

 

 

 

T. Rowe Price Intl Disc

 

139

 

T. Rowe Price Intl Disc

 

^

 

9,905

 

 

 

T. Rowe Price Scitech

 

133

 

T. Rowe Price Scitech

 

^

 

6,070

 

 

 

Target Retirement 2065 Fund Inv

 

7,647

 

Target Retirement 2065 Fund Inv

 

^

 

165,931

 

 

 

Tekla Life Sciences Investors

 

25

 

Tekla Life Sciences Investors

 

^

 

491

 

 

 

Templeton Dragon Fund

 

9

 

Templeton Dragon Fund

 

^

 

194

 

 

 

Templeton Global Bond Fd - Ad

 

1,287,891

 

Templeton Global Bond Fd - Ad

 

^

 

15,261,507

 

 

 

Thompson Bond Funds, Inc.

 

611

 

Thompson Bond Funds, Inc.

 

^

 

6,963

 

 

 

Tiaa Cref Inst Intl Equity Index Fund R

 

433

 

Tiaa Cref Inst Intl Equity Index Fund R

 

^

 

8,933

 

 

 

TIAA Crf Large Cap Gr Idx Retire

 

1,293

 

TIAA Crf Large Cap Gr Idx Retire

 

^

 

37,559

 

 

 

TIAA-Cref Bond Fund-Rtr

 

2,915

 

TIAA-Cref Bond Fund-Rtr

 

^

 

30,839

 

 

 

TIAA-Cref Gl Nat Res-Rtr (liquidated 4/13/18)

 

480

 

TIAA-Cref Gl Nat Res-Rtr (liquidated 4/13/18)

 

^

 

4,076

 

 

 

TIAA-Cref Real Est Sec-Rtl

 

298

 

TIAA-Cref Real Est Sec-Rtl

 

^

 

4,604

 

 

 

Touchstone Small Cap Fund Y

 

4,063

 

Touchstone Small Cap Fund Y

 

^

 

61,479

 

 

 

Trimtabs All Cap US Free Cash Flow ETF

 

130

 

Trimtabs All Cap US Free Cash Flow ETF

 

^

 

4,384

 

 

 

Tweedy Browne Global Value

 

8,735

 

Tweedy Browne Global Value

 

^

 

248,862

 

 

 

United States Oil Fund LP

 

950

 

United States Oil Fund LP

 

^

 

11,409

 

 

 

US Natural Gas Fund LP (ung 01/04/18)

 

1

 

US Natural Gas Fund LP (ung 01/04/18)

 

^

 

6

 

 

 

VanEck Vectors Egypt Index ETF

 

100

 

VanEck Vectors Egypt Index ETF

 

^

 

3,270

 

 

 

VanEck Vectors Gold Miners

 

200

 

VanEck Vectors Gold Miners

 

^

 

4,648

 

 

 

VanEck Vectors Poland ETF

 

300

 

VanEck Vectors Poland ETF

 

^

 

5,928

 

 

 

VanEck Vectors Russia ETF

 

1

 

VanEck Vectors Russia ETF

 

^

 

21

 

 

 

Vaneck Vectors Semiconductor

 

40

 

Vaneck Vectors Semiconductor

 

^

 

3,912

 

 

 

VanEck Vectors Vietnam ETF

 

961

 

VanEck Vectors Vietnam ETF

 

^

 

17,174

 

 

 

Vanguard Dividend Apprec ETF

 

145

 

Vanguard Dividend Apprec ETF

 

^

 

14,794

 

 

 

Vanguard Energy ETF

 

53

 

Vanguard Energy ETF

 

^

 

5,244

 

 

 

Vanguard Extended Market Index Ins

 

588,245

 

Vanguard Extended Market Index Ins

 

^

 

49,853,798

 

 

 

Vanguard Financials ETF

 

50

 

Vanguard Financials ETF

 

^

 

3,502

 

 

 

Vanguard FTSE All WO X US SC

 

253

 

Vanguard FTSE All WO X US SC

 

^

 

30,179

 

 

 

Vanguard FTSE All-World Ex-US

 

1,241

 

Vanguard FTSE All-World Ex-US

 

^

 

67,908

 

 

 

Vanguard FTSE Developed Markets ETF

 

4,647

 

Vanguard FTSE Developed Markets ETF

 

^

 

208,464

 

 

 

Vanguard FTSE Emerging Market

 

5,066

 

Vanguard FTSE Emerging Market

 

^

 

232,580

 

 

 

Vanguard FTSE European ETF

 

17

 

Vanguard FTSE European ETF

 

^

 

1,019

 

 

 

Vanguard Health Care

 

238

 

Vanguard Health Care

 

^

 

48,876

 

 

 

Vanguard High Dividend Yield

 

793

 

Vanguard High Dividend Yield

 

^

 

67,905

 

 

 

Vanguard Hi-Yld Corp

 

4,872

 

Vanguard Hi-Yld Corp

 

^

 

28,842

 

 

 

Vanguard Inst Idx

 

424,462

 

Vanguard Inst Idx

 

^

 

103,339,559

 

 

27



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Vanguard Intermediate Term B

 

60

 

Vanguard Intermediate Term B

 

^

 

5,030

 

 

 

Vanguard Large Cap ETF

 

100

 

Vanguard Large Cap ETF

 

^

 

12,258

 

 

 

Vanguard Real Estate ETF

 

163

 

Vanguard Real Estate ETF

 

^

 

13,526

 

 

 

Vanguard S/T Corp Bond Etf

 

80

 

Vanguard S/T Corp Bond Etf

 

^

 

6,344

 

 

 

Vanguard Small- Cap ETF

 

300

 

Vanguard Small- Cap ETF

 

^

 

44,340

 

 

 

Vanguard Small Cap Value ETF

 

300

 

Vanguard Small Cap Value ETF

 

^

 

39,876

 

 

 

Vanguard Smcp Idx

 

793

 

Vanguard Smcp Idx

 

^

 

56,100

 

 

 

Vanguard Specialized Div Growth Fd

 

5,482

 

Vanguard Specialized Div Growth Fd

 

^

 

145,543

 

 

 

Vanguard Target Retirement 2020

 

328,584

 

Vanguard Target Retirement 2020

 

^

 

10,310,955

 

 

 

Vanguard Target Retirement 2030

 

375,229

 

Vanguard Target Retirement 2030

 

^

 

12,618,953

 

 

 

Vanguard Target Retirement 2040

 

364,043

 

Vanguard Target Retirement 2040

 

^

 

13,021,819

 

 

 

Vanguard Target Retirement 2050

 

272,793

 

Vanguard Target Retirement 2050

 

^

 

9,875,109

 

 

 

Vanguard Target Retirement 2055 Fund Inv

 

115,129

 

Vanguard Target Retirement 2055 Fund Inv

 

^

 

4,516,513

 

 

 

Vanguard Target Retirement 2060 Fund

 

56,876

 

Vanguard Target Retirement 2060 Fund

 

^

 

1,970,186

 

 

 

Vanguard Tgt Retire Income

 

58,775

 

Vanguard Tgt Retire Income

 

^

 

796,400

 

 

 

Vanguard Tgt Retirement 2015

 

203,608

 

Vanguard Tgt Retirement 2015

 

^

 

3,121,312

 

 

 

Vanguard Tgt Retirement 2025

 

741,479

 

Vanguard Tgt Retirement 2025

 

^

 

13,717,353

 

 

 

Vanguard Tgt Retirement 2035

 

740,858

 

Vanguard Tgt Retirement 2035

 

^

 

15,328,355

 

 

 

Vanguard Tgt Retirement 2045

 

609,509

 

Vanguard Tgt Retirement 2045

 

^

 

13,713,959

 

 

 

Vanguard Tot Int St Idx-Inst

 

190,047

 

Vanguard Tot Int St Idx-Inst

 

^

 

23,191,397

 

 

 

Vanguard Tot World Stk Index

 

20

 

Vanguard Tot World Stk Index

 

^

 

1,485

 

 

 

Vanguard Total Bd Idx In

 

2,253,561

 

Vanguard Total Bd Idx In

 

^

 

24,225,779

 

 

 

Vanguard Total Bond Market

 

45

 

Vanguard Total Bond Market

 

^

 

3,671

 

 

 

Vanguard Total Stock Market ETF

 

7

 

Vanguard Total Stock Market ETF

 

^

 

970

 

 

 

Vanguard Wellesleyinc

 

4,377

 

Vanguard Wellesleyinc

 

^

 

117,961

 

 

 

Velocityshares 2X Vix Sh-Trm

 

254

 

Velocityshares 2X Vix Sh-Trm

 

^

 

1,407

 

 

 

Virtus Global Dividend & Income Fund Inc

 

5,000

 

Virtus Global Dividend & Income Fund Inc

 

^

 

67,000

 

 

 

Virtus Global Multi-Sector

 

2,000

 

Virtus Global Multi-Sector

 

^

 

35,000

 

 

 

Virtus Total Return Fund Inc

 

2,000

 

Virtus Total Return Fund Inc

 

^

 

25,800

 

 

 

Wasatch Emerging India Fd

 

555

 

Wasatch Emerging India Fd

 

^

 

2,481

 

 

 

Wasatch Hoisington US Treas

 

312

 

Wasatch Hoisington US Treas

 

^

 

5,246

 

 

 

Western Asset Emerging Markets Debt

 

3,000

 

Western Asset Emerging Markets Debt

 

^

 

46,650

 

 

 

Wisdomtree Europe Hedged Equ

 

1,475

 

Wisdomtree Europe Hedged Equ

 

^

 

93,972

 

 

 

Wisdomtree Japan Dividend Fund

 

1,775

 

Wisdomtree Japan Dividend Fund

 

^

 

105,311

 

 

 

 

 

 

 

TOTAL MUTUAL FUNDS

 

 

 

605,440,529

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

PARTNERSHIPS

 

 

 

 

 

 

 

 

 

 

 

Blackstone Group LP

 

20,012

 

Blackstone Group LP

 

^

 

640,773

 

 

 

Calumet Specialty Products LP

 

2

 

Calumet Specialty Products LP

 

^

 

15

 

 

 

Cone Midstream Partners LP (cnxm 01/04/18)

 

1

 

Cone Midstream Partners LP (cnxm 01/04/18)

 

^

 

17

 

 

 

CVR Refining LP

 

1

 

CVR Refining LP

 

^

 

17

 

 

 

Energy Transfer Equity LP

 

111

 

Energy Transfer Equity LP

 

^

 

1,924

 

 

 

Energy Transfer Partners LP

 

1,753

 

Energy Transfer Partners LP

 

^

 

31,416

 

 

 

Enterprise Products Pptns LP

 

3,511

 

Enterprise Products Pptns LP

 

^

 

93,083

 

 

 

KKR & Co LP

 

1,275

 

KKR & Co LP

 

^

 

26,852

 

 

 

NGL Energy Partners LP

 

101

 

NGL Energy Partners LP

 

^

 

1,419

 

 

 

Plains All American Pipeline LP

 

200

 

Plains All American Pipeline LP

 

^

 

4,128

 

 

 

Seadrill Partners Llc

 

1,002

 

Seadrill Partners Llc

 

^

 

3,667

 

 

 

Suburban Propane L P

 

66

 

Suburban Propane L P

 

^

 

1,599

 

 

 

Sunoco LP

 

2

 

Sunoco LP

 

^

 

57

 

 

 

Tallgrass Energy Gp LP

 

150

 

Tallgrass Energy Gp LP

 

^

 

3,861

 

 

 

Tc Pipelines LP

 

177

 

Tc Pipelines LP

 

^

 

9,399

 

 

28



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Terra Nitrogen Company LP (acquired 04/02/18)

 

35

 

Terra Nitrogen Company LP (acquired 04/02/18)

 

^

 

2,793

 

 

 

Williams Partners LP

 

1

 

Williams Partners LP

 

^

 

39

 

 

 

 

 

 

 

TOTAL PARTNERSHIPS

 

 

 

821,059

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

OPTIONS

 

 

 

 

 

 

 

 

 

 

 

Amazon Com Inc @1145 12/29/17

 

1

 

Amazon Com Inc @1145 12/29/17

 

^

 

5

 

 

 

Acadia Pharmaceuticals Inc @28 1/19/18

 

(2)

 

Acadia Pharmaceuticals Inc @28 1/19/18

 

^

 

-500

 

 

 

Acadia Pharmaceuticals Inc @31 3/16/18

 

(1)

 

Acadia Pharmaceuticals Inc @31 3/16/18

 

^

 

-241

 

 

 

Achaogen Inc @15 3/16/18

 

(3)

 

Achaogen Inc @15 3/16/18

 

^

 

-198

 

 

 

Adamis Pharmaceuticals Corp @5 1/19/18

 

15

 

Adamis Pharmaceuticals Corp @5 1/19/18

 

^

 

415

 

 

 

Adamis Pharmaceuticals Corp @5 3/16/18

 

(19)

 

Adamis Pharmaceuticals Corp @5 3/16/18

 

^

 

-1,324

 

 

 

Adamis Pharmaceuticals Corp @5 6/15/18

 

(24)

 

Adamis Pharmaceuticals Corp @5 6/15/18

 

^

 

-2,564

 

 

 

Agenus Inc @4 4/20/18

 

(8)

 

Agenus Inc @4 4/20/18

 

^

 

-282

 

 

 

Alibaba Group Holding-Sp ADR @185 1/05/18

 

(12)

 

Alibaba Group Holding-Sp ADR @185 1/05/18

 

^

 

-65

 

 

 

Ally Financial Inc @22 1/19/18

 

(2)

 

Ally Financial Inc @22 1/19/18

 

^

 

-1,442

 

 

 

American Eagle Outfitters @5 1/18/19

 

5

 

American Eagle Outfitters @5 1/18/19

 

^

 

6,910

 

 

 

Amtrust Financial Services @10 2/16/18

 

(10)

 

Amtrust Financial Services @10 2/16/18

 

^

 

-885

 

 

 

Applied Optoelectronics Inc @38 1/12/18

 

(2)

 

Applied Optoelectronics Inc @38 1/12/18

 

^

 

-375

 

 

 

Applied Optoelectronics Inc @45 3/16/18

 

(1)

 

Applied Optoelectronics Inc @45 3/16/18

 

^

 

-196

 

 

 

Aratana Therapeutics Inc @7.5 05/18/18

 

(11)

 

Aratana Therapeutics Inc @7.5 05/18/18

 

^

 

-184

 

 

 

Avadel Pharmaceuticals @10 3/16/18

 

(3)

 

Avadel Pharmaceuticals @10 3/16/18

 

^

 

-142

 

 

 

Axovant Sciences Ltd @7.5 2/16/18

 

(3)

 

Axovant Sciences Ltd @7.5 2/16/18

 

^

 

-300

 

 

 

Bank Of America Corp @27 1/19/18

 

(2)

 

Bank Of America Corp @27 1/19/18

 

^

 

-527

 

 

 

Bank Of America Corp @30 1/18/19

 

(7)

 

Bank Of America Corp @30 1/18/19

 

^

 

-2,005

 

 

 

Bank Of America Corp @31 3/16/18

 

(2)

 

Bank Of America Corp @31 3/16/18

 

^

 

-120

 

 

 

Brookdale Senior Living Inc @10 04/20/18

 

(13)

 

Brookdale Senior Living Inc @10 04/20/18

 

^

 

-1,301

 

 

 

CenturyLinkl Inc @14 01/19/18

 

(2)

 

CenturyLinkl Inc @14 01/19/18

 

^

 

-548

 

 

 

Cheniere Energy Inc @52 1/19/18

 

3

 

Cheniere Energy Inc @52 1/19/18

 

^

 

777

 

 

 

Diebold Nixdorf Inc @17.5 5/18/18

 

(2)

 

Diebold Nixdorf Inc @17.5 5/18/18

 

^

 

-325

 

 

 

Dynavax Technologies Corp @20 01/19/18

 

(2)

 

Dynavax Technologies Corp @20 01/19/18

 

^

 

-156

 

 

 

Dynavax Technologies Corp @21 4/20/18

 

(1)

 

Dynavax Technologies Corp @21 4/20/18

 

^

 

-266

 

 

 

Dynavax Technologies Corp @24 4/20/18

 

(3)

 

Dynavax Technologies Corp @24 4/20/18

 

^

 

-564

 

 

 

Energy Transfer Partners LP @17 03/16/18

 

(2)

 

Energy Transfer Partners LP @17 03/16/18

 

^

 

-276

 

 

 

Energy Transfer Partners LP @17 1/19/18

 

(2)

 

Energy Transfer Partners LP @17 1/19/18

 

^

 

-215

 

 

 

Ensco Plc @6 1/19/18

 

(8)

 

Ensco Plc @6 1/19/18

 

^

 

-181

 

 

 

Facebook Inc-A @185 12/29/17

 

(12)

 

Facebook Inc-A @185 12/29/17

 

^

 

-12

 

 

 

Fireeye Inc @15 2/02/18

 

(6)

 

Fireeye Inc @15 2/02/18

 

^

 

-318

 

 

 

Fireeye Inc @16 2/16/18

 

(2)

 

Fireeye Inc @16 2/16/18

 

^

 

-83

 

 

 

Fitbit Inc Cl A @8 1/19/18

 

5

 

Fitbit Inc Cl A @8 1/19/18

 

^

 

3

 

 

 

Flexion Therapeutics Inc @25 5/18/18

 

(2)

 

Flexion Therapeutics Inc @25 5/18/18

 

^

 

-870

 

 

 

Flexion Therapeutics Inc @25 8/17/18

 

(2)

 

Flexion Therapeutics Inc @25 8/17/18

 

^

 

-1,128

 

 

 

Gilead Sciences Inc @55 1/17/20

 

4

 

Gilead Sciences Inc @55 1/17/20

 

^

 

8,170

 

 

 

Gilead Sciences Inc @55 1/18/19

 

3

 

Gilead Sciences Inc @55 1/18/19

 

^

 

5,432

 

 

 

Gilead Sciences Inc @75 2/16/18

 

(1)

 

Gilead Sciences Inc @75 2/16/18

 

^

 

-145

 

 

 

Global X MSCI Colombia ETF @11 3/16/18

 

16

 

Global X MSCI Colombia ETF @11 3/16/18

 

^

 

118

 

 

 

Gulfport Energy Corp @12.5 4/20/18

 

(6)

 

Gulfport Energy Corp @12.5 4/20/18

 

^

 

-849

 

 

29



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Heron Therapeutics Inc @16 03/16/18

 

(2)

 

Heron Therapeutics Inc @16 03/16/18

 

^

 

-663

 

 

 

Intercept Pharmaceuticals In @80 01/18/19

 

(1)

 

Intercept Pharmaceuticals In @80 01/18/19

 

^

 

-953

 

 

 

Juno Therapeutics Inc @47.5 2/16/18

 

(2)

 

Juno Therapeutics Inc @47.5 2/16/18

 

^

 

-713

 

 

 

Keryx Biopharmaceuticals @5 3/16/18

 

(9)

 

Keryx Biopharmaceuticals @5 3/16/18

 

^

 

-481

 

 

 

Lexicon Pharmaceuticals Inc @11 07/20/18

 

(2)

 

Lexicon Pharmaceuticals Inc @11 07/20/18

 

^

 

-257

 

 

 

MSG Networks Inc @22.5 5/18/18

 

(1)

 

MSG Networks Inc @22.5 5/18/18

 

^

 

-94

 

 

 

Neos Therapeutics Inc @10 2/16/18

 

(2)

 

Neos Therapeutics Inc @10 2/16/18

 

^

 

-234

 

 

 

NRG Energy Inc @30 1/19/18

 

4

 

NRG Energy Inc @30 1/19/18

 

^

 

262

 

 

 

Nvidia Corp @200 12/29/17

 

20

 

Nvidia Corp @200 12/29/17

 

^

 

80

 

 

 

Ocular Therapeutix Inc @5 1/19/18

 

(5)

 

Ocular Therapeutix Inc @5 1/19/18

 

^

 

-79

 

 

 

Ocular Therapeutix Inc @5 3/16/18

 

(16)

 

Ocular Therapeutix Inc @5 3/16/18

 

^

 

-924

 

 

 

Ocular Therapeutix Inc @7.5 6/15/18

 

(10)

 

Ocular Therapeutix Inc @7.5 6/15/18

 

^

 

-477

 

 

 

Omeros Corp @16 5/18/18

 

(3)

 

Omeros Corp @16 5/18/18

 

^

 

-1,625

 

 

 

Papa Murphy’s Holdings Inc @7.5 2/16/18

 

6

 

Papa Murphy’s Holdings Inc @7.5 2/16/18

 

^

 

71

 

 

 

Paratek Pharmaceuticals Inc @20 1/19/18

 

(2)

 

Paratek Pharmaceuticals Inc @20 1/19/18

 

^

 

-90

 

 

 

Plains All American Pipeline LP @20 01/19/18

 

(2)

 

Plains All American Pipeline LP @20 01/19/18

 

^

 

-180

 

 

 

Portola Pharmaceuticals Inc @50 6/15/18

 

(1)

 

Portola Pharmaceuticals Inc @50 6/15/18

 

^

 

-813

 

 

 

Portola Pharmaceuticals Inc @55 6/15/18

 

(3)

 

Portola Pharmaceuticals Inc @55 6/15/18

 

^

 

-1,846

 

 

 

Priceline Group Inc/The @1782.5 12/29/17

 

1

 

Priceline Group Inc/The @1782.5 12/29/17

 

^

 

0

 

 

 

Progenics Pharmaceuticals @7 2/16/18

 

10

 

Progenics Pharmaceuticals @7 2/16/18

 

^

 

283

 

 

 

Progenics Pharmaceuticals Inc @6 05/18/18

 

(10)

 

Progenics Pharmaceuticals Inc @6 05/18/18

 

^

 

-1,239

 

 

 

Progenics Pharmaceuticals Inc @7 01/18/19

 

(10)

 

Progenics Pharmaceuticals Inc @7 01/18/19

 

^

 

-1,414

 

 

 

Progenics Pharmaceuticals Inc @7 5/18/18

 

(2)

 

Progenics Pharmaceuticals Inc @7 5/18/18

 

^

 

-166

 

 

 

Progenics Pharmaceuticals Inc @8 1/19/18

 

40

 

Progenics Pharmaceuticals Inc @8 1/19/18

 

^

 

200

 

 

 

Puma Biotechnology Inc @115 1/19/18

 

50

 

Puma Biotechnology Inc @115 1/19/18

 

^

 

5,895

 

 

 

Puma Biotechnology Inc @120 1/19/18

 

50

 

Puma Biotechnology Inc @120 1/19/18

 

^

 

3,598

 

 

 

Qualcomm Inc @40 1/18/19

 

10

 

Qualcomm Inc @40 1/18/19

 

^

 

24,177

 

 

 

Radius Health Inc @30 1/19/18

 

(1)

 

Radius Health Inc @30 1/19/18

 

^

 

-271

 

 

 

Range Resource Corp. @17 3/16/18

 

(6)

 

Range Resource Corp. @17 3/16/18

 

^

 

-871

 

 

 

Riot BlockChain Inc @27.5 12/29/17

 

(4)

 

Riot BlockChain Inc @27.5 12/29/17

 

^

 

-620

 

 

 

Roku Inc @56 12/29/17

 

(20)

 

Roku Inc @56 12/29/17

 

^

 

-100

 

 

 

Royal Bank Of Scot-Spon ADR @10 1/18/19

 

8

 

Royal Bank Of Scot-Spon ADR @10 1/18/19

 

^

 

178

 

 

 

Royal Bank Of Scot-Spon Adr @7 1/18/19

 

(7)

 

Royal Bank Of Scot-Spon Adr @7 1/18/19

 

^

 

-876

 

 

 

Royal Bank Of Scot-Spon Adr @7 1/18/19

 

22

 

Royal Bank Of Scot-Spon Adr @7 1/18/19

 

^

 

2,755

 

 

 

Sage Therapeutics Inc @140 1/18/19

 

(1)

 

Sage Therapeutics Inc @140 1/18/19

 

^

 

-5,136

 

 

 

Seadrill Ltd @2 1/18/19

 

20

 

Seadrill Ltd @2 1/18/19

 

^

 

150

 

 

 

Skyworks Solutions Inc @100 1/19/18

 

25

 

Skyworks Solutions Inc @100 1/19/18

 

^

 

1,808

 

 

 

Snap Inc - A @5 1/17/20

 

4

 

Snap Inc - A @5 1/17/20

 

^

 

4,176

 

 

 

Snap Inc - A @7 4/20/18

 

5

 

Snap Inc - A @7 4/20/18

 

^

 

3,805

 

 

 

Spdr Gold Trust Gold Shs @50 1/18/19

 

5

 

Spdr Gold Trust Gold Shs @50 1/18/19

 

^

 

11,204

 

 

 

Synergy Pharmaceuticals Inc @2 01/19/18

 

(42)

 

Synergy Pharmaceuticals Inc @2 01/19/18

 

^

 

-1,472

 

 

 

Synergy Pharmaceuticals Inc @2 7/20/18

 

(12)

 

Synergy Pharmaceuticals Inc @2 7/20/18

 

^

 

-930

 

 

 

Synergy Pharmaceuticals Inc @2.5 4/20/18

 

(10)

 

Synergy Pharmaceuticals Inc @2.5 4/20/18

 

^

 

-476

 

 

 

Synergy Pharmaceuticals Inc @3.5 1/18/19

 

2

 

Synergy Pharmaceuticals Inc @3.5 1/18/19

 

^

 

127

 

 

 

Tegna Inc @14 4/20/18

 

(3)

 

Tegna Inc @14 4/20/18

 

^

 

-310

 

 

30



 

CITY NATIONAL BANK

PROFIT SHARING PLAN

EIN: 95-1780067 PN: 001

Attachment to 2017 Form 5500

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

December 31, 2017

 

 

 

 

 

 

 

(c)

 

 

 

 

 

 

 

(b)

 

 

 

Description of investment, including

 

 

 

(e)

 

 

 

Identity of issuer, borrower,

 

 

 

maturity date, rate of interest,

 

(d)

 

Current

 

(a)

 

lessor or similar party

 

shares

 

collateral, par or maturity value

 

Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Tesaro Inc @85 1/19/18

 

(1)

 

Tesaro Inc @85 1/19/18

 

^

 

-323

 

 

 

TG Therapeutics Inc @10 1/18/19

 

(4)

 

TG Therapeutics Inc @10 1/18/19

 

^

 

-980

 

 

 

The Medicines Inc @28 4/20/18

 

(1)

 

The Medicines Inc @28 4/20/18

 

^

 

-304

 

 

 

Transocean Ltd @10 1/18/19

 

10

 

Transocean Ltd @10 1/18/19

 

^

 

2,332

 

 

 

Transocean Ltd @3 1/18/19

 

10

 

Transocean Ltd @3 1/18/19

 

^

 

7,774

 

 

 

Trevena Inc @2.5 3/16/18

 

(18)

 

Trevena Inc @2.5 3/16/18

 

^

 

-379

 

 

 

Ultragenyx Pharmaceutical In @50 02/16/18

 

(2)

 

Ultragenyx Pharmaceutical In @50 02/16/18

 

^

 

-504

 

 

 

Uniti Group Inc @17.5 5/18/18

 

(6)

 

Uniti Group Inc @17.5 5/18/18

 

^

 

-1,081

 

 

 

Uniti Group Inc @20 2/16/18

 

(4)

 

Uniti Group Inc @20 2/16/18

 

^

 

-110

 

 

 

Ziopharm Oncology Inc @8 1/19/18

 

9

 

Ziopharm Oncology Inc @8 1/19/18

 

^

 

7

 

 

 

Zogenix Inc @35 1/18/19

 

(4)

 

Zogenix Inc @35 1/18/19

 

^

 

-5,908

 

 

 

 

 

 

 

TOTAL OTHER ASSETS

 

 

 

39,226

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

PARTICIPANT LOANS

 

 

 

 

 

 

 

 

 

*

 

CNB PARTICIPANT LOANS

 

 

 

1,081 Participant loans, bearing interest at 4.25% to 9.25% and maturities through January 2033

 

 

 

14,347,124

 

 

 

 

 

 

 

TOTAL PARTICIPANT LOANS

 

 

 

14,347,124

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

TOTAL ASSETS

 

 

 

888,119,038

 

 


*                 Denotes Party-In-Interest asset

 

^                Cost Information not provided as assets are part of an individual account plan that participants and beneficiaries directed with respect to assets allocated to his or her account.

 

31



 

Index to Exhibits

 

Exhibit No.

 

Exhibit

23.1

 

Consent of Moss Adams LLP

 

32



 

SIGNATURES

 

The Plan.  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 its behalf by the undersigned hereunto duly authorized.

 

 

City National Bank Profit Sharing Plan

 

 

 

 

By: City National Bank

 

 

 

Date: June 28, 2018

By:

/s/ Michael Nunnelee

 

 

Senior Vice President

 

33