11-K
Table of Contents

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, DC 20549

 

 

FORM 11-K

FOR ANNUAL REPORTS OF EMPLOYEE STOCK PURCHASE, SAVINGS AND SIMILAR

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

x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE

SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2013                                                 

OR

¨ TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE

SECURITIES EXCHANGE ACT OF 1934

For the transition period from __________ to __________                            

Commission file number: 1-15062

 

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

TIME WARNER SAVINGS PLAN

 

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

Time Warner Inc.

One Time Warner Center

New York, New York 10019


Table of Contents

 

FINANCIAL STATEMENTS AND

SUPPLEMENTAL SCHEDULES

Time Warner Savings Plan

Years Ended December 31, 2013 and 2012

With Report of Independent Registered Public

Accounting Firm


Table of Contents

Time Warner Savings Plan

Financial Statements and Supplemental Schedules

Years Ended December 31, 2013 and 2012

 

 

Contents

 

Report of Independent Registered Public Accounting Firm

     1   

Financial Statements

  

Statements of Net Assets Available for Benefits

     2   

Statements of Changes in Net Assets Available for Benefits

     3   

Notes to Financial Statements

     4   

Supplemental Schedules

  

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

     19   

Schedule H, Part IV, Line 4(a) – Schedule of Delinquent Participant Contributions

     20   

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

     21   


Table of Contents

Report of Independent Registered Public Accounting Firm

The Administrative Committee

Time Warner Savings Plan

We have audited the accompanying statements of net assets available for benefits of the Time Warner Savings Plan as of December 31, 2013 and 2012, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. We were not engaged to perform an audit of the Plan’s internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, 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. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2013 and 2012, and the changes in its net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.

Our audits were conducted for the purpose of forming an opinion on the financial statements taken as a whole. The accompanying supplemental schedules of loans or fixed income obligations in default or classified as uncollectible, delinquent participant contributions and assets (held at end of year) as of December 31, 2013 are presented for purposes of additional analysis and are not a required part of the financial statements but are supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. Such information has been subjected to the auditing procedures applied in our audits of the financial statements and, in our opinion, is fairly stated in all material respects in relation to the financial statements taken as a whole.

 

New York, New York

June 23, 2014

 

/s/ Ernst & Young LLP

 

 

1


Table of Contents

Time Warner Savings Plan

Statements of Net Assets Available for Benefits

 

     December 31,  
     2013     2012  
  

 

 

 
     (In Thousands)  

Investments at fair value:

    

Commingled trust funds

   $ 1,203,121      $ 940,499   

Time Warner common stock

     430,063        335,204   

Other common stocks

     953,928        712,896   

Synthetic investment contracts

     637,845        625,699   

Mutual funds

     1,280,442        960,534   

U.S. government and agency securities

     316,324        259,990   

Other fixed income securities

     155,260        145,772   

Cash, cash equivalents and other investments

     57,482        153,047   
  

 

 

 

Total investments at fair value

     5,034,465        4,133,641   

Contributions receivable:

    

Employer

     8,012        9,009   

Participants

     5        2,591   

Notes receivable from participants

     69,521        64,301   

Receivables for securities sold

     226,321        67,635   

Other assets

     9,595        6,061   
  

 

 

 

Total assets

     5,347,919        4,283,238   

Payables for securities purchased

     332,686        165,702   

Other liabilities

     6,354        7,702   
  

 

 

 

Total liabilities

     339,040        173,404   
  

 

 

 

Net assets reflecting investments at fair value

     5,008,879        4,109,834   

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

     (12,090     (23,018
  

 

 

 

Net assets available for benefits

   $   4,996,789      $   4,086,816   
  

 

 

 

See accompanying notes.

 

2


Table of Contents

Time Warner Savings Plan

Statements of Changes in Net Assets Available for Benefits

 

     Year Ended December 31,  
     2013     2012  
  

 

 

 
     (In Thousands)  

Net assets available for benefits at beginning of year

   $   4,086,816      $   3,556,062   

Changes in net assets:

    

Investment income, net of fees

     58,588        51,005   

Net realized and unrealized appreciation in the fair value of investments

     850,632        443,515   
  

 

 

 

Net investment income

     909,220        494,520   

Employing company contributions

     156,544        151,672   

Participant contributions, including rollover contributions

     206,817        193,088   

Participant loan interest income

     3,236        2,828   

Participant withdrawals

     (363,837     (308,265

Administrative expenses

     (2,818     (3,089

Plan transfer

     811        -   
  

 

 

 

Net change

     909,973        530,754   
  

 

 

 

Net assets available for benefits at end of year

   $ 4,996,789      $ 4,086,816   
  

 

 

 

See accompanying notes.

 

3


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements

December 31, 2013

1. Description of the Plan

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

General

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

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

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

On May 14, 2013, the Master Trust received approximately $772,000, which was the final distribution of settlement funds from the shareholder class action lawsuits brought on behalf of certain stockholders of Time Warner. Individual allocations to eligible participant accounts in the Plan and the TWC Savings Plan (which ceased to be a participating plan in the Master Trust effective October 31, 2008 in connection with the legal and structural separation of Time Warner Cable Inc. from Time Warner on March 12, 2009) were determined by the trustee of the Master Trust, Fidelity Management Trust Company (“Fidelity”), based on a calculation by the third-party settlement administrator according to the court-approved plan of allocation. On September 24, 2013, approximately $649,000 was allocated to the Plan and, on October 28, 2013 and November 15, 2013, approximately $93,000 and $30,000, respectively, was allocated to the TWC Savings Plan. The Plan’s allocation is included in Investment income, net of fees in the Statement of Changes in Net Assets Available for Benefits.

 

4


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

Investment Funds, Contributions and Vesting

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

Contributions or investment fund transfers into the Time Warner Inc. Stock Fund, an employee stock ownership plan component of the Plan, are prohibited, but Plan participants who hold Time Warner common stock in the Time Warner Inc. Stock Fund have the option to reinvest cash dividends paid by Time Warner on its common stock in Time Warner common stock through the Time Warner Inc. Stock Fund in lieu of receiving the cash dividends.

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

All eligible Plan participants with a pre-tax contribution rate of less than 3%, newly eligible Plan participants, and employees classified as hourly or temporary employees who are credited with at least 1,000 hours of service in any one year are automatically enrolled in the Plan at a pre-tax contribution rate of 3% unless they change their contribution rate or opt out of the Plan. Unless participants who were automatically enrolled in the Plan elected or elect otherwise, their contribution rate automatically increased by 1% beginning on either January 1, 2012 or the first anniversary of their automatic enrollment date (depending on the date they were automatically enrolled) and will continue to increase by 1% annually until the 6% maximum for automatic contributions is reached. These participant contributions and Matching Contributions are invested in a target risk fund unless participants elect other investment option(s). Participants who are automatically enrolled in the Plan may change their contribution rate or opt out of the Plan at any time.

 

5


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

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

Participants are allowed to transfer amounts from certain other tax qualified plans to the Plan (“Rollovers”). Rollovers are included as participant contributions in the Statements of Changes in Net Assets Available for Benefits.

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

Matching Contributions and earnings thereon generally vest based on years or periods of service as follows:

 

    Vesting of Matching Contributions Made and Earnings Thereon:(1)    
   

March 1, 2007 Through
June 30, 2010

       
      On or After July 1, 2010    
   

Years or Periods of

Service

   Vested
Percentage
 

Years or Periods

of Service

   Vested
Percentage 
   
 

 

 

 

 
 

Less than 1 year

         –%   Less than 2 years          –%  
 

1 but less than 2 years

     20   2 years or more    100  
 

2 but less than 3 years

     40       
 

3 but less than 4 years

     60       
 

4 but less than 5 years

     80       
 

5 years or more

   100       

 

(1)  Any completed service prior to the dates set forth in this table generally counts toward vesting.

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

The Plan provisions described above that became effective July 1, 2010 (relating to (i) the automatic enrollment of certain eligible Plan participants, (ii) the Matching Contributions rate and (iii) the vesting of Matching Contributions (and earnings thereon) made on or after July 1, 2010) do not apply to certain employees subject to a collective bargaining agreement at one of Time Warner’s subsidiaries.

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

Forfeited Accounts

Forfeited Employing Company Contributions and earnings thereon may be used to reduce future Employing Company Contributions to the Plan and/or to pay Plan expenses. Forfeited Employing Company Contributions and earnings thereon for 2013 and 2012 were $3.4 million and $3.2 million, respectively. The amount of forfeited nonvested accounts as of December 31, 2013 and 2012 was $4.6 million and $4.8 million, respectively, and is included in the Statements of Net Assets Available for Benefits.

Notes Receivable From Participants

Under the Plan, subject to certain restrictions and penalties, participants may withdraw amounts and/or take loans from their accounts. The maximum number of loans a participant may have outstanding is limited to three at any one time, in the form of either one primary residence loan and two general loans or three general loans; provided, however, that if the primary residence loan was obtained by December 31, 2007, it does not limit the availability of the three general loans. The minimum loan amount is $1,000 and the maximum loan amount is $50,000. Loans are valued at their outstanding balances, which approximate fair value, and are treated as transfers between the individual investment funds and the participant loan fund. Loan terms may be for up to five years or 15 years if for the purchase of a primary residence. Participants who have transferred accounts to the Plan with existing loans for the purchase of a primary residence may have loan terms of up to 30 years based on the provisions of the plan from which the original loan was obtained. Effective April 1, 2007, interest rates charged for loans originated under the Plan within any quarter are set at the prime rate in effect on the first day of such quarter plus 1%. Prior to April 1, 2007, interest rates for such loans were set at the prime rate in effect at the time of the loan plus 1%. Participants who have transferred accounts to the Plan with existing loans may be subject to different interest rates on those loans, as set in accordance with the provisions of the plan from which the original loan was obtained. Interest rates on outstanding participant loans as of December 31, 2013 and 2012 ranged from 4.25% to 10.50%.

Payment of Benefits

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

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

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

Plan Termination

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

Plan Transfer

On August 6, 2012, Time Warner acquired Bleacher Report Inc. (“Bleacher Report”). Prior to the acquisition, Bleacher Report maintained the Bleacher Report Inc. 401(k) Profit Sharing Plan and Trust (the “Bleacher Plan”) for its eligible employees. As of December 31, 2012, the Bleacher Plan was frozen and no new amounts were permitted to be contributed to the plan. As of January 1, 2013, Bleacher Report employees became eligible to participate in the Plan. Effective December 9, 2013 (the “Effective Date”), the Bleacher Plan’s net assets in the amount of $0.8 million were transferred, and the Bleacher Plan was merged into the Plan. The terms of the Bleacher Plan and the Plan were similar, except that the Bleacher Plan allowed participants to make elective after-tax contributions to a designated account for their benefit (a “Roth account”). Roth accounts were created for Plan participants who had a Roth account under the Bleacher Plan immediately prior to the Effective Date, and no new amounts may be contributed to such accounts.

2. Basis of Presentation and Summary of Significant Accounting Policies

Basis of Presentation

The accompanying financial statements have been prepared on the accrual basis of accounting.

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

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

Payment of Benefits

Participant withdrawals are recorded when paid.

Administrative Expenses

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

Reclassification

Certain 2012 amounts have been reclassified to conform to the current year presentation.

Use of Estimates

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

Investment Valuation and Income Recognition

Investments held by the Plan are stated at fair value. Fair value is defined as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). See Note 4 for additional information and disclosures related to fair value measurements.

Investments in the Statements of Net Assets Available for Benefits include fully benefit-responsive investment contracts recognized at fair value with a corresponding adjustment to reflect these investments at contract value.

Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded as earned. Dividends are recorded on the ex-dividend date. Net appreciation or depreciation in the fair value of investments includes the Plan’s gains and losses on investments bought and sold as well as held during the year.

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

Recent Accounting Standard

On January 1, 2013, the Plan adopted, on a retrospective basis, guidance regarding disclosure of additional information about certain financial instruments, specifically derivative instruments subject to master netting arrangements for which amounts owed or due can be offset. The adoption of this guidance did not have a material impact on the Plan’s financial statements.

3. Investments

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

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

During the years ended December 31, 2013 and 2012, the Plan’s investments appreciated (depreciated) in fair value as follows:

 

     Year Ended December 31,  
     2013     2012  
  

 

 

 
     (In Thousands)  

Net realized and unrealized appreciation (depreciation) in fair value of investments:

    

Commingled trust funds

   $   207,325      $   121,285   

Time Warner common stock

     144,805        86,283   

Other common stocks

     285,139        84,985   

Mutual funds

     237,385        129,943   

U.S. government and agency securities

     (23,079     11,305   

Other fixed income securities

     2,232        10,150   

Cash, cash equivalents and other investments

     (3,175     (436
  

 

 

 

Total net realized and unrealized appreciation in the fair value of investments

   $ 850,632      $ 443,515   
  

 

 

 

The following table presents investments that each represented 5% or more of the Plan’s net assets available for benefits:

 

                                     
     December 31,  
     2013      2012  
  

 

 

 
     (In Thousands)  

Commingled Trust Funds:

     

BlackRock Equity Index–Fund H, 6,464,832 and 6,441,896 units, respectively

   $   432,982       $   325,896   

BlackRock US Debt Index–Fund T, 14,036,455 and 11,432,922 units, respectively

     251,177         208,765   

Common Stock:

     

Time Warner, 6,168,438 and 7,008,237 shares, respectively

     430,063         335,204   

Mutual Fund:

     

Dodge & Cox Stock Fund, 4,064,934 and 4,084,395 shares, respectively

     686,445         497,888   

 

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Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

The Capital Preservation Fund, an investment fund available in the Plan, includes fully benefit-responsive synthetic investment contracts that are valued at fair value and adjusted to contract value in the Statements of Net Assets Available for Benefits. In a synthetic investment contract, debt securities (such as fixed-income, asset-backed and mortgage-backed securities) are purchased and then a financial institution agrees to provide for liquidity and an adjustable rate of return thereon (a “Wrapper”), which, when taken together with the underlying securities, generally results in a guaranteed return of principal and accrued interest. See Note 4 for additional information related to fair value measurements.

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

 

   

Complete or partial termination of the Plan;

 

   

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

 

   

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

 

   

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

At this time, the occurrence of an event that would limit the ability of the Capital Preservation Fund to transact at contract value is not probable. The completion of the Time Separation (as described in Note 7) is not expected to limit the ability of the Capital Preservation Fund to transact at contract value.

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

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

Interest income in the Capital Preservation Fund is accrued at the weighted-average return of individual fund investments, net of investment management and certain administrative fees (the “Crediting Rate”). The Crediting Rate is calculated daily. Wrapper contracts use the Crediting Rate formula to convert market value changes in the underlying assets into income distributions in order to minimize the difference between the market and contract value of the underlying assets over time. Using the Crediting Rate formula, an estimated future market value is calculated by compounding a portfolio’s current market value at such portfolio’s current yield to maturity for a period equal to such portfolio duration. The Crediting Rate is the discount rate that equates that estimated future market value with such portfolio’s current contract value. Crediting Rates are reset monthly. The Wrapper contracts are designed so that the Crediting Rate will not fall below 0%. The Capital Preservation Fund’s Crediting Rate as of December 31, 2013 and 2012 was 1.6% and 1.9%, respectively. The average annualized yield of the Capital Preservation Fund for the years ended December 31, 2013 and 2012 was 1.7% and 2.2%, respectively.

Certain investment managers of investment funds offered under the Plan are authorized to use derivative financial instruments, either directly or within a commingled fund structure, in accordance with established guidelines of the investment funds. Derivative financial instruments may be used for the purpose of managing interest rate and foreign exchange risk, and for yield enhancement. Changes in the fair value of derivative financial instruments are recorded in the Statements of Changes in Net Assets Available for Benefits; therefore, no gains or losses are deferred. At December 31, 2013 and 2012, the fair value of derivative financial instruments held by the Plan was not material. The derivative financial instruments held by the Plan at December 31, 2013 consisted of interest rate and credit default swap contracts, futures contracts and currency and interest rate option contracts. The derivative financial instruments held by the Plan at December 31, 2012 consisted of interest rate and credit default swap contracts, futures contracts and interest rate option contracts. Significant derivative positions at December 31, 2013 included futures contracts with notional amounts of $190.0 million. Significant derivative positions at December 31, 2012 included written interest rate option contracts and interest rate swap contracts with notional amounts of $143.7 million and $87.2 million, respectively.

4. Fair Value Measurements

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

 

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Time Warner Savings Plan

Notes to Financial Statements (continued)

 

The following table presents information about the Plan’s assets and liabilities required to be carried at fair value on a recurring basis as of December 31, 2013 and December 31, 2012 (in thousands):

 

     December 31, 2013                                                    December 31, 2012  
Asset Category    Level 1     Level 2     Level 3      Total     Level 1      Level 2     Level 3      Total  

Assets

                   

Commingled trust funds (a)

   $      $ 1,203,121      $       $ 1,203,121      $       $ 940,499      $       $ 940,499   

Equity securities:

                   

Time Warner common stock

     430,063                       430,063        335,204                        335,204   

Other common stocks:

                   

Domestic equities

     872,991                       872,991        677,811                        677,811   

International equities

     80,937                       80,937        35,085                        35,085   

Synthetic investment contracts:

                   

U.S. government and agency securities

     254,878        94,975                349,853        270,132         104,556                374,688   

Mortgage related obligations

            137,331                137,331                97,935                97,935   

Investment grade corporate bonds(b)

            148,499                148,499                148,642                148,642   

Cash, cash equivalents and other investments

     2,051        111                2,162        3,624         810                4,434   

Mutual funds(c)

     1,280,442                       1,280,442        960,534                        960,534   

Fixed income securities:

                   

U.S. government and agency securities

     121,212        195,112                316,324        107,297         198,797                306,094   

Mortgage related obligations

            31,847        1,881         33,728                34,287        272         34,559   

Investment grade corporate bonds(b)

            93,981        394         94,375                90,488                90,488   

Non-investment grade corporate bonds(b)

            27,157                27,157                20,725                20,725   

Cash, cash equivalents, and other investments:

                   

Cash and cash equivalents

     5,492        23,481                28,973        13,695         34,589                48,284   

Derivatives

     55        270                325                2,610                2,610   

Other investments(d)

     40        29,190        3         29,233        40         102,697                102,737   
  

 

 

 

Total Assets

   $ 3,048,161      $ 1,985,075      $ 2,278       $ 5,035,514        2,403,422         1,776,635      $ 272       $ 4,180,329   

Liabilities

                   

Derivatives

     (113     (936             (1,049             (584             (584

U.S. government and agency securities

                                     (46,104             (46,104
  

 

 

 

Total

   $ 3,048,048      $ 1,984,139      $ 2,278       $ 5,034,465      $ 2,403,422       $ 1,729,947      $ 272       $ 4,133,641   
  

 

 

 

 

(a) 

At December 31, 2013, the underlying securities held in commingled trust funds consisted of approximately 21% and 79% of marketable fixed income and equity securities, respectively. At December 31, 2012, the underlying securities held in commingled trust funds consisted of approximately 22% and 78% of marketable fixed income and equity securities, respectively.

(b) 

At December 31, 2013 and December 31, 2012, the investment grade corporate bonds had credit ratings equal to or higher than the following, as applicable: S&P rating of BBB-, Fitch rating of BBB- or Moody’s rating of Baa3, and the non-investment grade corporate bonds had credit ratings below the foregoing ratings, as applicable.

(c) 

At December 31, 2013, mutual funds consisted of (in thousands) $686,445 in the Dodge & Cox Stock Fund, $242,454 in Fidelity BrokerageLink (of which $30,275 is in cash and cash equivalents), $209,379 in the Manning & Napier Overseas Fund, $97,607 in the DFA Emerging Markets Core Equity Portfolio Institutional Class Fund and $44,557 in the PIMCO Short Term Portfolio Institutional Class. At December 31, 2012, mutual funds consisted of (in thousands) $497,888 in the Dodge & Cox Stock Fund, $220,478 in Fidelity BrokerageLink (of which $27,715 is in cash and cash equivalents), $159,256 in the Manning & Napier Overseas Fund and $82,912 in the DFA Emerging Markets Core Equity Portfolio Institutional Class Fund.

(d) 

At December 31, 2013, other investments consisted of (in thousands) $40 of preferred stocks, $22,400 of repurchase agreements, $6,790 of certificates of deposit and $3 of warrants. At December 31, 2012, other investments consisted of (in thousands) $40 of preferred stocks, $88,100 of repurchase agreements, $12,915 of certificates of deposit and $1,682 of commercial paper.

 

14


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

The following table reconciles the beginning and ending balances of the Plan’s assets classified as Level 3 for the years ended December 31, 2013 and December 31, 2012 (in thousands):

 

     December 31, 2013                                                                                 December  31, 2012          
     Investment
Grade
Corporate
Bonds
     Mortgage
Related
Obligations
    Other
Investments
     Total     Investment
Grade
Corporate
Bonds
    Non-investment
Grade
Corporate
Bonds
    US
Government
and Agency
Securities
    Mortgage
Related
Obligation
     Total  
  

 

 

 

Balance at beginning of period

   $       $ 272      $       $ 272      $ 2,548      $ 3      $ 1,678      $       $ 4,229   

Actual return on plan assets:

                     

Relating to assets still held at end of period

             1                1        134                              134   

Relating to assets sold during the period

             2                2        (134                           (134

Purchases

                                                        272         272   

Sales

             (198             (198                                    

Issuances

                    3         3                                       

Settlements

                                                                  

Transfers into Level 3

     394         1,804                2,198                                  

Transfers out of Level 3

                                   (2,548     (3     (1,678             (4,229
  

 

 

 

Balance at end of period

   $ 394       $ 1,881      $ 3       $ 2,278      $      $      $      $ 272       $ 272   
  

 

 

 

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

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

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

Synthetic investment contracts: The fair value of the benefit-responsive synthetic investment contracts at year end is calculated by discounting the related cash flows based on current yields of similar instruments with comparable durations. Contract value represents contributions made under the contract, plus interest at the contract rate, less withdrawals under the contract. As of December 31, 2013 and 2012, there were no reserves against contract values for the credit risk of contract issuers or otherwise.

 

15


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

Mutual funds: Valued at the net asset value of shares held by the Plan at year end.

Fixed income securities: Valued at the closing price at year end as reported on the active market on which the individual securities are traded. Securities not traded on an active market are valued based on yields currently available on comparable securities of issuers with similar credit ratings. When quoted prices are not available for identical or similar securities, the securities are valued using a discounted cash flows approach that maximizes observable inputs, such as current yields of similar instruments, but includes adjustments for certain risks that may not be observable, such as credit and liquidity risks. Due to the subjectivity involved in this assessment, these investments may be classified in Level 3 of the fair value hierarchy.

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

5. Transactions with Parties-in-Interest

Under the terms of the Plan and the Master Trust, Time Warner may elect to contribute shares of Time Warner common stock and/or cash for Employing Company Contributions to the Plan. There were no shares of Time Warner common stock contributed in 2013 or 2012 as Employing Company Contributions to the Plan. The Plan may also purchase or sell shares of Time Warner common stock directly from or to Time Warner, respectively. There were no purchases or sales of Time Warner common stock by the Plan directly from or to Time Warner in 2013 or 2012.

Certain Plan investments are managed by Fidelity. State Street Bank acts as sub-custodian for certain Plan investments. Therefore, Fidelity’s management of such Plan investments and State Street Bank’s holding of such investments as sub-custodian qualify as party-in-interest transactions; however, these transactions are exempt from the prohibited transaction rules under ERISA. The Plan has received a notice from Fidelity that Citibank, N.A. will act as sub-custodian for certain Plan investments as of June 30, 2014 and, therefore, will replace State Street Bank as sub-custodian.

 

16


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

6. Tax Status of Plan

The Plan has received a determination letter from the IRS, dated May 13, 2010, stating that the Plan is qualified under Section 401(a) of the Code and, therefore, the related trust is exempt from taxation. Subsequent to this determination by the IRS, the Plan was amended. The Plan filed for a new determination letter from the IRS on January 31, 2013. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualified status. The Administrative Committee believes the Plan is being operated in compliance with the applicable requirements of the Code and therefore believes the Plan, as amended, is qualified and the related trust is tax exempt. The Plan is subject to audits, from time to time, by various authorities. The Administrative Committee believes that the Plan’s information statement on Form 5500 is subject to examination for years after 2009; however, there are currently no audits for any periods in progress.

7. Subsequent Events

Effective as of January 1, 2014, Time Inc., a subsidiary of Time Warner at that date, established the Time Inc. Savings Plan (the “Time Plan”), a defined contribution savings plan intended to be tax-qualified. As of January 3, 2014, net assets in the amount of $756.8 million and participant loans in the amount of $11.6 million were transferred out of the Plan into the Time Plan, in connection with the transfer of the account balances and participant loans of participating employees at Time Inc. and its consolidated subsidiaries (after giving effect to the Time Separation (as defined below)).

On June 6, 2014, Time Warner completed the legal and structural separation of Time Inc. from Time Warner (the “Time Separation”). Immediately after 11:59 p.m. EDT on June 6, 2014, Time Warner distributed all outstanding shares of Time Inc. common stock to Time Warner stockholders at a distribution ratio of one share of Time Inc. common stock for every eight shares of Time Warner common stock held on the May 23, 2014 record date (the “Time Inc. Distribution”). As a result of the Time Inc. Distribution, the Plan received 647,145 shares of Time Inc. common stock with a value of approximately $15.1 million. The shares were credited to eligible Plan participants’ accounts in the Time Warner Inc. Stock Fund. In accordance with the provisions of the Plan, an independent fiduciary, Fiduciary Counselors Inc., was appointed to exercise control over the Time Inc. common stock received in the Time Warner Inc. Stock Fund as a result of the Time Inc. Distribution. Fiduciary Counselors Inc. is expected to sell all of the Time Inc. common stock received by the Time Warner Inc. Stock Fund and reinvest the proceeds in Time Warner common stock, other than 380 shares of Time Inc. common stock that were distributed to participants who were eligible to receive shares in the Time Inc. Distribution and withdrew their account balances from the Plan prior to June 6, 2014. Fiduciary Counselors Inc. began selling the Time Inc. common stock on June 10, 2014.

 

17


Table of Contents

Time Warner Savings Plan

Notes to Financial Statements (continued)

 

8. Reconciliation to Form 5500

The net assets of the Plan that are attributed to fully benefit-responsive investment contracts will be recorded at fair value on the 2013 IRS Form 5500 and related schedules. The following is a reconciliation of the Plan’s net assets available for benefits and changes in net assets available for benefits between the financial statements and Form 5500:

 

     December 31,  
     2013      2012  
  

 

 

 
     (In Thousands)  

Net assets available for benefits per the financial statements

   $ 4,996,789       $ 4,086,816   

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

     12,090         23,018   
  

 

 

 

Net assets per the Form 5500

   $ 5,008,879       $ 4,109,834   
  

 

 

 
            Year Ended
December 31,
2013
 
     

 

 

 
            (In Thousands)  

Net investment income from the Plan per the financial statements

  

   $ 909,220   

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

   

     (23,018 ) 

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

   

     12,090   
     

 

 

 

Net investment income from the Plan per the Form 5500

  

   $ 898,292   
     

 

 

 

 

18


Table of Contents

 

 

Supplemental Schedules

 

 

 


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534    Plan: #336

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

December 31, 2013

 

                      Amount Received During
Reporting Year
            Amount Overdue  
(a)    (b)    (c)    (d)      (e)      (f)      (g)      (h)      (i)  
Party-In-
Interest
   Identity and Address of
Obligor
   Detailed Description of Loan Including Dates
of Making and Maturity, Interest Rate, the
Type and  Value of Collateral, any
Renegotiation of The Loan and the Terms of
the Renegotiation and Other Material Items
   Original
Amount of
Loan
     Principal      Interest      Unpaid
Balance at
End of Year
     Principal      Interest  
  

Edison Mission

   EDISON MISSION 7.625% 5/27    $ 6,000       $       $       $ 58       $       $ 58   
  

Glitnir Bank

   GLITNIR 3ML+273.25 6/16 144A      411,000                         12,447                 12,447   
  

Glitnir Bank

   GLITNIR BK MTN 6.33% 7/11 144A      279,000                         279,000         279,000           
  

Kaupthing Bank

   KAUPTHING BK 5.75% 10/4/11 144A      120,000                         120,000         120,000           
  

Kaupthing Bank

   KAUPTHING BK 7.625% 2/28/15      1,177,000                         89,746                 89,746   
  

Kaupthing Bank

   KAUPTHING MTN 7.125% 5/19/16 144A      130,000                         9,263                 9,263   
  

Landsbankinn

   LANDSBANK IS MTN 6.1% 8/25/11      641,000                         641,000         641,000           

 

19


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534    Plan: #336

Schedule H, Part IV, Line 4(a) – Schedule of Delinquent Participant Contributions

December 31, 2013

 

Participant Contributions Transferred Late

to the Plan

   Total That Constitute Nonexempt Prohibited Transactions

Check Here if Late Participant Loan
Repayments are included:

x

   Contributions Not
Corrected
   Contributions
Corrected Outside
VFCP
   Contributions
Pending
Correction in
VFCP
   Total Fully
Corrected Under
VFCP and PTE
2002-51
   $    –    $482,498    $    –    N/A

 

20


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Commingled Trust Funds

     
18,440,145   

BlackRock MSCI ACWI ex-U.S. Index Fund C

   $ 222,661,066      
6,464,832   

BlackRock Equity Index - Fund H

     432,982,100      
3,064,373   

BlackRock Extended Equity - Market Fund K

     219,866,928      
14,036,455   

BlackRock US Debt Index - Fund T

     251,176,741      
5,401,714   

Pyramis Select Global Plus Fund

     76,434,165      
     

 

 

  

Total Commingled Trust Funds

   $ 1,203,121,000      
6,168,438   

Time Warner Common Stock*

   $ 430,063,497      
  

Other Common Stocks

     
2,200   

3M CO

   $ 308,550      
42,200   

ABBVIE INC

     2,228,582      
47,000   

ACACIA RESEARCH - ACACIA TECH

     683,380      
81,330   

ACADIA HEALTHCARE CO INC

     3,849,349      
121,110   

ACADIA PHARMACEUTICALS INC

     3,026,539      
700   

ACCENTURE PLC CL A

     57,554      
54,100   

ACTAVIS PLC

     9,088,800      
109,695   

ACXIOM CORP

     4,056,521      
32,294   

ADVISORY BOARD CO

     2,056,159      
400   

AETNA INC

     27,436      
16,479   

AFFILIATED MANAGERS GRP INC

     3,573,966      
58,230   

AIMIA INC

     1,069,491      
500   

AIR GAS INC

     55,925      
72,600   

AIR METHODS CORP

     4,234,758      
23,900   

AKAMAI TECHNOLOGIES INC

     1,127,602      
51,583   

ALEXION PHARMACEUTICALS INC

     6,863,634      
4,600   

ALLERGAN INC

     510,968      
55,450   

ALLIANCE DATA SYSTEMS CORP

     14,579,469      
83,530   

ALLOT COMMUNICATIONS LTD

     1,266,315      
140,000   

ALLSCRIPTS HLTHCARE SOLS INC

     2,164,400      
55,975   

AMAZON.COM INC

     22,322,270      
48,500   

AMC NETWORKS INC CL A

     3,303,335      
71,600   

AMERICAN EXPRESS CO

     6,496,268      
149,235   

AMERICAN TOWER CORP

     11,911,938      
13,800   

AMERIPRISE FINANCIAL INC

     1,587,690      

 

21


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
1,900   

AMERISOURCEBERGEN CORP

   $ 133,589      
30,908   

ANTERO RES CORP

     1,960,804      
87,697   

AOL INC

     4,088,434      
31,582   

APPLE INC

     17,720,976      
49,920   

APPROACH RESOURCES INC

     962,957      
26,479   

ARCTIC CAT INC

     1,508,773      
60,200   

ARM HOLDINGS PLC SPON ADR

     3,295,348      
20,800   

ASBURY AUTOMOTIVE GROUP INC

     1,117,792      
98,600   

ASML HLDG NV (NY REG SHS)

     9,238,820      
142,173   

ASSOCIATED BANC CORP

     2,473,810      
1,300   

AUTODESK INC

     65,429      
56,900   

AUTONATION INC

     2,827,361      
47,164   

AVERY DENNISON CORP

     2,367,161      
29,580   

AXIALL CORP

     1,403,275      
41,500   

B/E AEROSPACE INC

     3,611,745      
23,800   

BAIDU INC SPON ADR

     4,233,544      
13,913   

BALLY TECHNOLOGIES INC

     1,091,475      
20,640   

BANK OF THE OZARKS INC

     1,168,018      
30,950   

BEACON ROOFING SUPPLY INC

     1,246,666      
2,300   

BECTON DICKINSON & CO

     254,127      
17,370   

BELDEN INC

     1,223,717      
50,560   

BERRY PLASTICS GROUP INC

     1,202,822      
74,100   

BEST BUY CO INC

     2,955,108      
73,240   

BILL BARRETT CORP

     1,961,367      
31,900   

BIOGEN IDEC INC

     8,924,025      
35,600   

BOEING CO

     4,859,044      
48,180   

BOISE CASCADE CO

     1,420,346      
244,000   

BOSTON SCIENTIFIC CORP

     2,932,880      
59,100   

BRISTOL-MYERS SQUIBB CO

     3,141,165      
19,070   

BRISTOW GROUP INC

     1,431,394      
5,900   

CABOT OIL & GAS CORP

     228,684      
143,724   

CALPINE CORP

     2,804,055      
700   

CAMERON INTERNATIONAL CORP

     41,671      
3,000   

CANADIAN PAC RAILWAY LTD

     453,960      
28,183   

CARDINAL HEALTH INC

     1,882,906      
3,600   

CARNIVAL CORP

     144,612      

 

22


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
206,277   

CASELLA WASTE SYS INC CL A

   $ 1,196,407      
11,657   

CBOE HOLDINGS INC

     605,698      
54,700   

CELGENE CORP

     9,242,112      
121,100   

CELLDEX THERAPEUTICS INC

     2,931,831      
54,600   

CEVA INC

     831,012      
19,950   

CHILDRENS PL RETAIL STORES INC

     1,136,552      
6,100   

CHIPOTLE MEXICAN GRILL INC

     3,249,958      
41,560   

CINEMARK HOLDINGS INC

     1,385,195      
10,600   

CITIGROUP INC

     552,366      
1,000   

CITRIX SYSTEMS INC

     63,250      
22,051   

CLARCOR INC

     1,418,982      
26,630   

CLEAN HARBORS INC

     1,596,735      
41,100   

COGNEX CORP

     1,569,198      
26,900   

COGNIZANT TECH SOLUTIONS CL A

     2,716,362      
24,290   

COHERENT INC

     1,806,933      
99,888   

COMMVAULT SYSTEMS INC

     7,479,613      
30,106   

COMPASS MINERALS INTL INC

     2,409,985      
25,300   

CONCHO RESOURCES INC

     2,732,400      
70,566   

CONSTELLATION BRANDS INC CL A

     4,966,435      
21,638   

COPA HOLDINGS SA CL A

     3,464,460      
38,880   

CORNERSTONE ONDEMAND INC

     2,073,859      
68,931   

CORPORATE EXECUTIVE BRD CO

     5,337,327      
7,400   

COSTCO WHOLESALE CORP

     880,674      
10,400   

COVIDIEN PLC

     708,240      
19,800   

CTRIP.COM INTL LTD ADR

     982,476      
20,100   

CVS CAREMARK CORP

     1,438,557      
55,840   

CYRUSONE INC

     1,246,907      
133,095   

DANA HOLDING CORP

     2,611,324      
102,100   

DANAHER CORP

     7,882,120      
89,800   

DAVITA HEALTHCARE PARTNERS INC

     5,690,626      
43,100   

DELPHI AUTOMOTIVE PLC

     2,591,603      
176,100   

DELTA AIR INC

     4,837,467      
58,310   

DEXCOM INC

     2,064,757      
149,300   

DIGITALGLOBE INC

     6,143,695      
85,665   

DISCOVERY COMM INC CL C NON-VO

     7,183,867      
103,000   

DISNEY (WALT) CO

     7,869,200      

 

23


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
51,800   

DOLBY LABORATORIES INC CL A

   $ 1,997,408      
13,100   

DOLLAR TREE INC

     739,102      
17,595   

DORMAN PRODUCTS INC

     986,552      
13,172   

DST SYSTEMS INC

     1,195,227      
45,800   

EATON CORP PLC

     3,486,296      
189,500   

EBAY INC

     10,401,655      
86,000   

ECOLAB INC

     8,967,220      
60,533   

EHEALTH INC

     2,814,179      
1,000   

ELECTRONICS FOR IMAGING INC

     38,730      
39,100   

ELIZABETH ARDEN INC

     1,386,095      
96,500   

ENDOLOGIX INC

     1,682,960      
239,993   

ENVISION HEALTHCARE HLDGS INC

     8,524,551      
31,000   

EOG RESOURCES INC

     5,203,040      
41,370   

EPAM SYSTEMS INC

     1,445,468      
19,400   

EQT CORPORATION

     1,741,732      
93,000   

ESTEE LAUDER COS INC CL A

     7,004,760      
61,473   

EURONET WORLDWIDE INC

     2,941,483      
20,435   

EVERCORE PARTNERS INC CL A

     1,221,604      
7,100   

EXPRESS SCRIPTS HLDG CO

     498,704      
242,773   

FACEBOOK INC A

     13,269,972      
22,000   

FASTENAL CO

     1,045,220      
15,200   

FEDEX CORP

     2,185,304      
29,930   

FINANCIAL ENGINES INC

     2,079,536      
109,470   

FIRST AMERICAN FINANCIAL CORP

     3,087,054      
279,157   

FIRST HORIZON NATIONAL CORP

     3,252,179      
51,235   

FIRST NIAGARA FINL GROUP INC

     544,116      
35,400   

FIRSTMERIT CORP

     786,942      
26,600   

FISERV INC

     1,570,730      
30,300   

FLEETMATICS GROUP PLC

     1,310,475      
13,700   

FLOWSERVE CORP

     1,079,971      
9,200   

FMC CORP NEW

     694,232      
900   

FMC TECHNOLOGIES INC

     46,989      
60,660   

FORTINET INC

     1,160,426      
65,404   

FORTUNE BRANDS HOME & SEC INC

     2,988,963      
12,000   

FOSSIL GROUP INC

     1,439,280      
47,510   

FRANCESCA’S HOLDINGS CORP

     874,659      

 

24


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
48,400   

FRANKLIN RESOURCES INC

   $ 2,794,132      
49,700   

FTD COS INC

     1,619,226      
29,100   

FULLER H B CO

     1,514,364      
11,240   

GENESEE & WYOMING INC CL A

     1,079,602      
186,569   

GILEAD SCIENCES INC

     14,020,660      
43,800   

GLAXOSMITHKLINE PLC SPONS ADR

     2,338,482      
32,700   

GLOBAL PAYMENTS INC

     2,125,173      
124,000   

GNC HOLDINGS INC - CL A

     7,247,800      
400   

GOLDMAN SACHS GROUP INC

     70,904      
32,314   

GOOGLE INC A

     36,214,623      
49,800   

GRAFTECH INTERNATIONAL LTD

     559,254      
11,100   

GREEN MTN COFFEE ROASTERS INC

     838,938      
24,728   

GUIDEWIRE SOFTWARE INC

     1,213,403      
28,700   

GULFPORT ENERGY CORP

     1,812,405      
17,131   

HAIN CELESTIAL GROUP INC

     1,555,152      
6,924   

HANCOCK HOLDING CO

     253,972      
27,100   

HARLEY-DAVIDSON INC

     1,876,404      
43,600   

HEALTHWAYS INC

     669,260      
600   

HENRY SCHEIN INC

     68,556      
250,900   

HERTZ GLOBAL HOLDINGS INC

     7,180,758      
37,646   

HEXCEL CORPORATION

     1,682,400      
16,980   

HIBBETT SPORTS INC

     1,141,226      
61,790   

HILLSHIRE BRANDS CO

     2,066,258      
13,200   

HILTON WORLDWIDE HLDGS INC

     293,700      
90,880   

HMS HOLDINGS CORP

     2,065,702      
67,732   

HOME DEPOT INC

     5,577,053      
25,730   

HOMEAWAY INC

     1,051,842      
18,600   

HONEYWELL INTL INC

     1,699,482      
118,340   

HORSEHEAD HOLDING CORP

     1,918,291      
5,100   

HUNT J B TRANSPORT SERVICES IN

     394,230      
39,800   

HUNTINGTON INC W/I

     3,582,398      
22,486   

HURON CONSULTING GROUP INC

     1,410,322      
4,300   

IHS INC CL A

     514,710      
61,500   

IMPAX LABORATORIES INC

     1,546,110      
35,480   

IMPERVA INC

     1,707,652      
28,910   

INFOBLOX INC

     954,608      

 

25


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
28,360   

INFORMATICA CORP

   $ 1,176,940      
35,920   

INSULET CORP

     1,332,632      
384,365   

INTEGRATED DEVICE TECH INC

     3,916,679      
87,500   

INTERACTIVE BROKERS GROUP INC

     2,129,750      
61,975   

INTERCONTINENTALEXCHNGE GR INC

     13,939,417      
39,300   

INTERXION HOLDING NV

     927,873      
300   

INTUIT INC

     22,896      
11,800   

INTUITIVE SURGICAL INC

     4,532,144      
79,900   

INVESCO LTD

     2,908,360      
43,000   

ITT CORP

     1,867,060      
126,380   

JIVE SOFTWARE INC

     1,421,775      
5,400   

JOHNSON CONTROLS INC

     277,020      
20,567   

JONES LANG LASALLE INC

     2,105,855      
500   

JPMORGAN CHASE & CO

     29,240      
1,200   

JUNIPER NETWORKS INC

     27,084      
63,426   

KANSAS CITY SOUTHERN

     7,854,042      
52,745   

KRISPY KREME DOUGHNUTS INC

     1,017,451      
24,800   

L BRANDS INC

     1,533,880      
63,742   

LAREDO PETROLEUM INC

     1,765,016      
61,400   

LAS VEGAS SANDS CORP

     4,842,618      
2,600   

LENNAR CORP CL A

     102,856      
18,546   

LIBERTY GLOBAL PLC CL A

     1,650,409      
39,152   

LIBERTY GLOBAL PLC CL C

     3,301,297      
22,300   

LINKEDIN CORP CL A

     4,835,309      
91,900   

LKQ CORP

     3,023,510      
54,700   

LOWES COS INC

     2,710,385      
13,454   

LPL FINANCIAL HOLDINGS INC

     632,742      
6,700   

LULULEMON ATHLETICA INC

     395,501      
48,136   

MAGELLAN HLTH SERVICES INC

     2,883,828      
282,020   

MAGNUM HUNTER RESOURCES CORP

     2,061,566      
44,030   

MANITOWOC CO INC

     1,026,780      
19,500   

MARATHON PETROLEUM CORP

     1,788,735      
16,000   

MARRIOTT INTERNATIONAL INC A

     789,760      
137,300   

MARSH & MCLENNAN COS INC

     6,639,828      
10,100   

MASONITE INTERNATIONAL CORP

     606,000      
23,628   

MASTERCARD INC CL A

     19,740,249      

 

26


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
53,400   

MCKESSON CORP

   $ 8,618,760      
17,050   

MEDIVATION INC

     1,088,131      
34,380   

MELLANOX TECH LTD (USA)

     1,374,169      
35,300   

MICHAEL KORS HOLDINGS LTD

     2,866,007      
101,527   

MONEYGRAM INTERNATIONAL INC

     2,109,731      
42,889   

MONSANTO CO NEW

     4,998,713      
6,700   

MONSTER BEVERAGE CORP

     454,059      
62,500   

MORGAN STANLEY

     1,960,000      
37,614   

MOTORCAR PARTS OF AMERICA INC

     725,950      
55,300   

MRC GLOBAL INC

     1,783,978      
36,522   

MULTIMEDIA GAMES HOLDNG CO INC

     1,145,330      
14,400   

NETFLIX INC

     5,301,648      
68,375   

NEUSTAR INC CL A

     3,409,178      
168,203   

NEW GOLD INC(US)

     881,384      
18,400   

NIKE INC CL B

     1,446,976      
9,700   

NORTHERN TRUST CORP

     600,333      
30,700   

OLIN CORP

     885,695      
199,075   

ON ASSIGNMENT INC

     6,951,699      
73,900   

O’REILLY AUTOMOTIVE INC

     9,511,669      
24,608   

PAPA JOHNS INTL INC

     1,117,203      
78,800   

PENN NATIONAL GAMING

     1,129,204      
8,100   

PEPSICO INC

     671,814      
57,700   

PERFORMANT FINANCIAL CORP

     594,310      
4,900   

PERRIGO CO PLC

     751,954      
87,403   

PEYTO EXPL & DEV CORP NEW

     2,674,956      
1,400   

PHARMACYCLICS INC

     148,092      
61,500   

PHH CORP

     1,497,525      
119,000   

PIONEER ENERGY SVCS CORP

     953,190      
36,240   

PIONEER NATURAL RESOURCES CO

     6,670,697      
170,200   

POLYONE CORP

     6,016,570      
23,900   

PRAXAIR INC

     3,107,717      
35,433   

PRECISION CASTPARTS CORP

     9,542,107      
18,098   

PRICELINE.COM INC

     21,037,115      
10,300   

PROCTER & GAMBLE CO

     838,523      
73,390   

PROOFPOINT INC

     2,434,346      
11,900   

PVH CORP

     1,618,638      

 

27


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
56,769   

QLIK TECHNOLOGIES INC

   $ 1,511,758      
46,300   

QUALCOMM INC

     3,437,775      
48,266   

QUALYS INC

     1,115,427      
55,725   

QUANTA SVCS INC

     1,758,681      
127,200   

QUESTAR CORP

     2,924,328      
6,200   

RALPH LAUREN CORP

     1,094,734      
26,823   

RANGE RESOURCES CORP

     2,261,447      
18,700   

RED HAT INC

     1,047,948      
29,190   

RED ROBIN GOURMET BURGERS INC

     2,146,633      
7,500   

REGENERON PHARMACEUTICALS INC

     2,064,300      
64,230   

RESPONSYS INC

     1,760,544      
44,527   

RESTORATION HARDWARE HLDGS INC

     2,996,667      
10,500   

ROPER INDUSTRIES INC

     1,456,140      
48,650   

ROSETTA RESOURCES INC

     2,337,146      
79,400   

ROSS STORES INC

     5,949,442      
126,124   

SALESFORCE.COM INC

     6,960,784      
54,582   

SBA COMMUNICATIONS CORP CL A

     4,903,647      
88,400   

SCHLUMBERGER LTD

     7,965,724      
47,600   

SEALED AIR CORP

     1,620,780      
75,000   

SEAWORLD ENTMT INC

     2,157,750      
25,770   

SEMTECH CORP

     651,466      
46,321   

SERVICENOW INC

     2,594,439      
18,000   

SHERWIN WILLIAMS CO

     3,303,000      
12,200   

SHIRE PLC SPON ADR

     1,723,738      
685,500   

SIRIUS XM HLDGS INC

     2,392,395      
18,720   

SIRONA DENTAL SYSTEMS INC

     1,314,144      
15,300   

SOFTBANK CORP

     670,293      
64,770   

SPECTRANETICS CORP

     1,619,250      
39,500   

SS&C TECHNOLOGIES HOLDINGS INC

     1,748,270      
46,238   

STANCORP FINL GROUP INC

     3,063,268      
193,743   

STARBUCKS CORP

     15,187,514      
35,400   

STARWOOD HTLS & RESRT WRLDWIDE

     2,812,530      
31,600   

STATE STREET CORP*

     2,319,124      
31,080   

STEVEN MADDEN LTD

     1,137,217      
18,675   

STRATASYS LTD

     2,515,523      
10,700   

STRYKER CORP

     803,998      

 

28


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Common Stocks (continued)

  

  
43,100   

SYMETRA FINANCIAL CORP

   $ 817,176      
49,010   

SYNCHRONOSS TECHNOLOGIES INC

     1,522,741      
317,073   

SYNOVUS FINANICAL CORP.

     1,141,463      
49,700   

TD AMERITRADE HOLDING CORP

     1,522,808      
27,606   

TEAM HEALTH HOLDINGS INC

     1,257,453      
16,320   

TENNECO INC

     923,222      
4,100   

TESLA MOTORS INC

     616,558      
28,900   

THERMO FISHER SCIENTIFIC INC

     3,218,015      
41,780   

THORATEC CORP

     1,529,148      
56,280   

TIBCO SOFTWARE INC

     1,265,174      
5,200   

TIFFANY & CO

     482,456      
52,380   

TJX COMPANIES INC NEW

     3,338,177      
41,924   

TORCHMARK CORP

     3,276,361      
20,900   

TRACTOR SUPPLY CO.

     1,621,422      
30,070   

TRIMAS CORP

     1,199,492      
7,400   

TRIMBLE NAVIGATION LTD

     256,780      
4,800   

TRIPADVISOR INC

     397,584      
19,170   

TRIUMPH GROUP INC

     1,458,262      
21,600   

TUPPERWARE BRANDS CORP

     2,041,848      
35,600   

TWENTY FIRST CENTURY FOX INC-A

     1,252,408      
7,018   

TWITTER INC

     446,696      
36,400   

ULTIMATE SOFTWARE GROUP INC

     5,577,208      
21,818   

UNDER ARMOUR INC CL A

     1,904,711      
48,700   

UNION PACIFIC CORP

     8,181,600      
43,700   

UNITED CONTINENTAL HLDGS INC

     1,653,171      
37,200   

UNITED RENTALS INC

     2,899,740      
11,400   

UNITED TECHNOLOGIES CORP

     1,297,320      
11,100   

UNITEDHEALTH GROUP INC

     835,830      
18,900   

US BANCORP DEL

     763,560      
5,600   

V F CORP

     349,104      
9,700   

VALEANT PHARMACEUTICALS (USA)

     1,138,780      
600   

VALEANT PHARMACEUTICALS INTL

     70,390      
129,931   

VANTIV INC

     4,237,050      
9,560   

VERISK ANALYTICS INC

     628,283      
300   

VERTEX PHARMACEUTICALS INC

     22,290      
52,519   

VISA INC CL A

     11,694,931      

 

29


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value         
  

Other Common Stocks (continued)

  

 
78,300   

WABCO HOLDINGS INC

   $ 7,314,003     
7,500   

WABTEC

     557,025     
31,220   

WAGEWORKS INC

     1,855,717     
36,611   

WASTE CONNECTIONS INC

     1,597,338     
20,990   

WELLCARE HEALTH PLANS INC

     1,478,116     
34,100   

WHOLE FOODS MARKET INC

     1,972,003     
236,400   

WNS HLDGS LTD SP ADR

     5,179,524     
23,000   

WOODWARD INC

     1,049,030     
2,000   

WW GRAINGER INC

     510,840     
80,200   

WYNDHAM WORLDWIDE CORP

     5,909,938     
15,100   

WYNN RESORTS LTD

     2,932,571     
70,360   

XPO LOGISTICS INC

     1,849,764     
28,538   

ZUMIEZ INC

     741,988     
     

 

 

  

Total Other Common Stocks

   $ 953,927,559     
  

Synthetic Investment Contracts

  

 
  

CASH **

   $ (5,067,380  
7,117,811   

COLCHESTER STREET TRUST MONEY MARKET PORTFOLIO CLASS I

     7,117,811     
1,000,000   

ABBEY NATL 3.875% 11/10/14 144A

     1,032,770     
1,087,000   

ABBVIE INC 1.75% 11/06/17 WI

     1,087,580     
79,000   

AETNA INC 1.5% 11/15/17

     77,956     
1,294,000   

ALLYA 2013-1 A3 .63% 5/15/17

     1,294,338     
870,000   

ALLYL 2012-SN1 A3 .57% 8/20/15

     870,500     
926,000   

ALLYL 2013-SN1 A3 .72% 05/16

     927,807     
882,000   

AMERICAN EX CC 2.75% 9/15/15

     919,886     
643,000   

AMERICAN EX MTN 1.3% 07/29/16

     651,461     
958,000   

AMERICAN EX MTN 2.8% 9/19/16

     1,008,524     
630,000   

AMERICAN EXP .875% 11/13/15

     632,142     
630,000   

AMERICAN EXPRESS 1.55% 5/22/18

     615,889     
630,000   

AMERICAN HONDA 1.5% 9/17 144A

     623,332     
640,000   

AMERICAN HONDA FIN 2.125 10/18

     640,093     
700,000   

AMERICAN INTL GRP 3% 3/20/15

     724,850     
479,000   

AMERICAN INTL GRP 3.8% 3/22/17

     516,349     
3,110,000   

AMXCA 2012-2 A .68% 3/18

     3,116,547     
3,080,000   

AMXCA 2012-5 A 0.59% 5/18

     3,079,361     
1,191,000   

AMXCA 2013-3 A .98% 05/19

     1,188,940     

 

30


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
640,000   

ANHEUSER BUSCH 1.375% 7/15/17

   $ 642,460      
590,000   

ANZ BK GRP 2.125% 1/10/14 144A

     596,125      
174,000   

APACHE CORP 1.75% 4/15/17

     174,931      
2,349,000   

APPLE INC 1% 5/3/18

     2,274,039      
230,000   

AT&T INC 1.4% 12/01/17

     226,914      
608,000   

AT&T INC 2.4% 8/15/16

     630,704      
600,000   

AT&T INC 2.5% 8/15/15

     621,684      
600,000   

AT&T INC 2.95% 5/15/16

     627,871      
630,000   

AUSTRALIA & NZ 1.45% 5/15/18

     610,573      
630,000   

AUSTRALIA & NZ 1.875% 10/06/17

     632,135      
946,000   

AUSTRALIA & NZ BK .9% 2/12/16

     948,178      
292,000   

AVALONBAY COMM 3.625% 10/1/20

     297,819      
630,000   

BAAT 2012-1 A4 1.03% 12/16

     635,102      
51,934   

BACM 2005-3 A2 CSTR 7/43

     52,262      
1,031,634   

BACM 2006-4 A1A CSTR 7/46

     1,139,223      
890,000   

BANK AMER FDG 3.7% 9/1/15

     941,303      
801,000   

BANK AMER FDG CRP 2.6% 1/15/19

     808,092      
630,000   

BANK MONTREAL MTN 2.5% 1/11/17

     656,176      
1,500,000   

BANK OF AMERICA CRP MTN 2 1/18

     1,510,840      
630,000   

BANK OF NY MTN 2.4% 1/17/17

     651,438      
630,000   

BANK T-M UFJ 1.65% 2/26/18 144

     616,330      
630,000   

BANK T-M UFJ 2.7% 9/9/18 144A

     641,995      
590,000   

BB&T CORP MTN B/E 3.2% 3/15/16

     622,492      
620,000   

BG ENERGY 2.875% 10/16 144A

     650,934      
1,500,000   

BK NOVA SCOTIA 1.375% 12/18/17

     1,472,105      
632,000   

BMWLT 2013-1 A3 .54% 09/15

     632,134      
590,000   

BP CAPITAL MARKET 3.2% 3/11/16

     625,280      
620,000   

BP CAPITAL MARKETS 2.248% 11/16

     643,890      
650,000   

BP CAPITAL MKTS 1.375% 11/6/17

     641,207      
630,000   

BPCM 1.375% 5/10/18

     612,377      
1,760,000   

BRIT COLMB PROV 2.1% 5/18/16

     1,821,676      
619,909   

BSCMS 05-PWR8 A4 4.674 6/41

     647,098      
862,580   

BSCMS 05-T18 A4 4.933% 2/42

     897,062      
799,747   

BSCMS 06-PW12 A1A CSTR 9/38

     878,105      
1,003,411   

BSCMS 2006-PW13 A1A 5.533% 9/41

     1,102,912      
1,062,307   

BSCMS 2006-T22 A1A CSTR 4/38

     1,157,231      

 

31


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
950,000   

CANADA GOVT .875% 2/14/17

   $ 953,101      
454,000   

CAPITAL ONE BNK 1.15% 11/21/16

     452,566      
620,000   

CAPITAL ONE FIN 2.15% 3/23/15

     633,909      
640,000   

CAPITAL ONE FIN CO 1% 11/06/15

     640,699      
490,000   

CARMX 2012-3 A3 0.52% 7/17

     489,954      
620,000   

CARMX 2013-3 A3 .97% 11/15/16

     623,453      
1,020,000   

CCCIT 13-A3 A3 1.11% 7/23/18

     1,028,163      
1,760,000   

CCCIT 2012-A1 A1 0.55% 10/17

     1,760,045      
2,570,000   

CCCIT 2013-A6 A6 1.32% 09/18

     2,598,366      
1,653,394   

CD 06-CD2 A1B CSTR 1/46

     1,778,016      
370,000   

CD 2005-CD1 A4 CSTR 7/44

     393,931      
1,074,108   

CD 2007-CD5 A1A 5.8% 11/44

     1,203,929      
170,757   

CFGNR 2011-150 D 3% 4/37

     173,831      
441,678   

CGCMT 13-GC11 A1 0.672% 12/17

     438,949      
540,000   

CGCMT 2006-C5 A4 5.431% 10/49

     591,599      
3,060,000   

CHAIT 2012-A5 A5 .59% 8/17

     3,061,089      
3,800,000   

CHAIT 2012-A8 A8 0.54% 10/17

     3,795,102      
650,000   

CHAIT 2013-A8 A8 1.01% 10/18

     649,241      
273,000   

CHEVRON CORP 0.889% 06/24/16

     273,695      
1,176,000   

CHEVRON CORP NE 1.104% 12/5/17

     1,150,551      
2,470,000   

CITIGROUP 1.25% 1/15/16

     2,492,301      
600,000   

CITIGROUP 3.953% 6/15/16

     639,355      
567,000   

CITIGROUP 4.75% 5/19/15

     599,769      
1,009,000   

CITIGROUP INC 1.3% 11/15/16

     1,007,080      
1,500,000   

CITIGROUP INC 1.7% 7/25/16

     1,525,081      
630,000   

CITIGROUP INC 1.75% 05/01/18

     621,017      
630,000   

CITIGROUP INC 2.25% 8/07/15

     648,760      
650,000   

COCA-COLA CO 1.65% 11/1/18

     642,907      
816,000   

COLGATE-PALMOLIVE 0.9% 5/1/18

     780,261      
70,000   

COMERICA INC 3% 9/16/15

     73,267      
3,286,000   

COMET 2013-A1 A1 .63% 11/18

     3,279,826      
1,575,000   

COMET 2013-A3 A3 .96% 9/19

     1,556,649      
1,467,846   

COMM 2006-C7 A1A CSTR 6/46

     1,606,285      
800,000   

COMM 2006-C8 A4 0% 12/46

     875,138      
182,773   

COMM 2012-CR1 A1 1.116% 5/45

     183,228      
510,000   

COMM 2012-CR1 A2 2.35% 5/45

     519,566      

 

32


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
210,598   

COMM 2012-CR2 A1 .824% 08/45

   $ 209,940      
394,228   

COMM 2012-CR5 A1 0.673% 12/45

     391,135      
255,643   

COMM 2013-CR9 A1 1.3440% 7/45

     256,506      
322,545   

COMM 2013-LC6 A1 .7240% 1/46

     319,924      
630,000   

COMMONWEALTH NY 1.95% 3/16/15

     644,111      
382,000   

COMWLTH EDISON 1.95% 9/01/16

     392,597      
500,000   

CVS CAREMARK 2.25% 12/5/18

     500,399      
1,260,000   

DAIMLER FIN NOR 1.3% 7/15 144A

     1,274,263      
620,000   

DAIMLER FINA NA 1.65% 4/15 144

     627,104      
101,302   

DBUBS 2011-LC3A A1 2.238% 8/44

     102,550      
1,400,000   

DCENT 2012-A1 A1 0.81% 8/17

     1,405,404      
2,510,000   

DCENT 2012-A3 A 0.86% 11/15/17

     2,521,039      
3,040,000   

DCENT 2013-A2 A2 .69% 07/18

     3,035,903      
1,294,000   

DCENT 2013-A5 A5 1.04% 04/19

     1,292,511      
590,000   

DEUTSCHE BK AG 3.25% 1/11/16

     626,083      
640,000   

DEVON ENERGY CO 2.25% 12/15/18

     633,434      
562,000   

DISNEY (WALT) MTN 1.1% 12/1/17

     554,054      
421,000   

DOMINION RES INC 1.95% 8/15/16

     431,038      
1,602,000   

DOMINION RESOUR 2.25% 9/1/15

     1,653,769      
211,000   

DUKE ENERGY CAR 1.75% 12/15/16

     215,460      
517,000   

DUKE ENERGY COR 2.1% 06/15/18

     514,264      
266,272   

FHLG    5.50% 3/34 #G01665

     293,482      
1,984,867   

FHLG    5.50% 5/34 #Z40042

     2,186,624      
383,436   

FHLG 10YR 3.00% 8/21 #J16393

     398,384      
343,751   

FHLG 10YR 3.00% 8/21 #J16442

     357,151      
359,728   

FHLG 15YR 3.50% 1/26 #G14312

     376,745      
982,998   

FHLG 15YR 3.50% 4/27 #G14449

     1,030,266      
4,201,072   

FHLG 15YR 3.50% 10/26 #G14450

     4,397,832      
255,180   

FHLG 15YR 4.00% 4/26 #E02867

     271,361      
594,397   

FHLG 15YR 4.00% 6/24 #G18312

     629,302      
496,661   

FHLG 15YR 4.00% 7/24 #G13596

     525,827      
473,112   

FHLG 15YR 4.00% 9/25 #E02787

     504,887      
397,790   

FHLG 15YR 4.00% 9/25 #G14376

     421,150      
311,371   

FHLG 15YR 4.50% 8/18 #E98688

     331,173      
115,470   

FHLG 15YR 4.50% 9/18 #E99205

     122,814      
157,750   

FHLG 15YR 4.50% 10/18 #E99833

     167,782      

 

33


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
97,094   

FHLG 15YR 4.50% 11/18 #B10931

   $ 103,269      
370,619   

FHLG 15YR 5.00% 3/19 #G13052

     393,320      
510,999   

FHLG 15YR 5.00% 4/20 #G13598

     543,073      
113,820   

FHLG 15YR 5.50% 4/18 #G11389

     120,479      
490,263   

FHLG 15YR 2.5% 06/23#G14775

     486,861      
255,283   

FHLG 15YR 2.5% 09/22#J20415

     261,169      
179,605   

FHLG 25YR 5.50% 7/35 #G05815

     197,916      
288,615   

FHLM ARM 2.98% 8/41 #1B8533

     302,848      
146,099   

FHLM ARM 3.07% 9/41 #1B8608

     153,625      
166,269   

FHLM ARM 3.53% 4/40 #1B4657

     177,208      
125,103   

FHLM ARM 3.58% 4/40 #1B4702

     132,573      
15,467   

FHLM ARM 3.88% 1/35 #848084

     16,220      
39,626   

FHLM ARM 4.68% 1/36 #847584

     42,197      
120,081   

FHLM ARM 5.37% 12/35 #1N0106

     125,832      
18,280   

FHLM ARM 5.78% 10/35 #1N0063

     19,474      
63,601   

FHLM ARM 4.199% 8/36 #848185

     67,730      
1,563   

FHLM ARM 4.889% 3/33 #847126

     1,661      
120,071   

FHLM ARM 4.941% 11/35 #1J1228

     127,280      
33,449   

FHLM ARM 5.084% 8/35 #1J0005

     35,372      
75,918   

FHLM ARM 3.224% 4/41#1B8179

     79,931      
70,282   

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

     73,830      
106,002   

FHLM ARM 3.283% 6/1/41

     111,573      
89,621   

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

     94,804      
132,115   

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

     140,116      
128,794   

FHLM ARM 3.717% 05/41#1B8124

     136,627      
1,116,000   

FHLMC .75% 1/12/18

     1,089,667      
2,455,000   

FHLMC 1% 9/29/17

     2,431,632      
892,000   

FHLMC 1.25% 5/12/17

     899,340      
895,730   

FHR 2011-3938 BE 2% 10/21

     906,160      
45,519   

FHR 2290 C 6% 2/31

     50,383      
35,491   

FHR 2313 C 6% 5/31

     38,321      
27,200   

FHR 2394 KD 6% 12/16

     28,598      
19,104   

FHR 2417 EH 6% 2/17

     20,270      
106,118   

FHR 2866 XE 4% 12/18

     108,257      
873,948   

FHR 3102 FD 1ML+30 1/36

     876,643      
342,379   

FHR 3117 JF 1ML+30 2/36

     343,061      

 

34


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
221,081   

FHR 3415 PC 5% 12/37

   $ 237,461      
381,109   

FHR 3741 HD 3% 11/15/39

     390,358      
471,656   

FHR 3763 QA 4% 4/34

     497,062      
444,793   

FHR 3820 DA 4% 11/35

     471,798      
536,708   

FHR 3943 EF 1ML+25 2/26

     537,012      
2,320,996   

FHR 4046 LA 3% 11/2026

     2,360,815      
639,966   

FHR 4176 BA 3% 2/33

     658,363      
883,191   

FHR 4181 LA 3% 3/37

     898,560      
1,739,814   

FHR SER 4221 CLS GA 1.4% 7/23

     1,736,551      
336,000   

FIFTH THIRD BAN 3.625% 1/25/16

     358,257      
630,000   

FIFTH THRD BANC 1.45% 02/28/18

     616,717      
1,427,252   

FNMA    5.50% 11/34 #310105

     1,577,957      
63,686   

FNMA    6.50% 7/32 #545759

     71,919      
22,734   

FNMA    6.50% 7/32 #545762

     25,673      
27,431   

FNMA    6.50% 7/35 #745092

     30,839      
41,932   

FNMA    6.50% 8/36 #888034

     47,342      
196,296   

FNMA    6.50% 8/36 #888544

     221,157      
164,027   

FNMA    6.50% 8/36 #AE0746

     184,766      
22,761   

FNMA    6.50% 12/32 #735415

     25,702      
221,153   

FNMA    6.50% 12/35 #AD0723

     250,279      
24,985,000   

FNMA .5% 9/28/15

     25,061,421      
8,445,000   

FNMA .875% 2/8/18

     8,258,067      
5,683,000   

FNMA 0.625% 8/26/16

     5,689,118      
5,713,000   

FNMA 1.625% 10/26/15

     5,854,597      
5,218,000   

FNMA 1.625% 11/27/18

     5,180,053      
8,344,000   

FNMA 1.875% 09/18/18

     8,450,775      
799,356   

FNMA 10YR 2.5% 05/23 #MA1431

     816,821      
362,207   

FNMA 10YR 2.5% 10/22#AB6544

     370,120      
290,734   

FNMA 10YR 2.5% 10/22#AB6730

     297,087      
395,443   

FNMA 15YR 3.50% 1/26 #AL1168

     415,256      
1,529,798   

FNMA 15YR 3.50% 3/27 #AL1746

     1,606,926      
947,097   

FNMA 15YR 3.50% 5/27 #AL1741

     993,958      
362,090   

FNMA 15YR 3.50% 5/27 #AL1751

     380,006      
144,477   

FNMA 15YR 4.00% 9/18 #734729

     153,463      
143,088   

FNMA 15YR 4.50% 6/19 #745278

     152,614      
63,991   

FNMA 15YR 4.50% 7/20 #888653

     68,250      

 

35


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
1,771   

FNMA 15YR 7.00% 1/16 #535662

   $ 1,851      
761   

FNMA 15YR 7.00% 5/15 #495848

     790      
1,106   

FNMA 15YR 7.00% 8/14 #783427

     1,119      
774   

FNMA 15YR 7.00% 11/18 #735420

     801      
9,861   

FNMA 20YR 5.50% 10/22 #254522

     10,878      
29,003   

FNMA ARM 2.42% 11/36 #AD0710

     30,845      
59,057   

FNMA ARM 2.61% 4/35 #995609

     62,875      
97,172   

FNMA ARM 3.01% 8/41 #AI4358

     101,285      
223,915   

FNMA ARM 3.20% 1/40 #AC0599

     237,394      
134,853   

FNMA ARM 3.37% 9/41 #AI8935

     141,456      
174,231   

FNMA ARM 3.47% 3/40 #AD0820

     183,559      
219,540   

FNMA ARM 3.60% 3/40 #AD1555

     232,405      
137,466   

FNMA ARM 4.21% 5/35 #889946

     145,468      
286,635   

FNMA ARM 4.285% 7/33#AD0066

     300,293      
171,332   

FNMA ARM 4.30% 2/35 #995017

     181,475      
125,208   

FNMA ARM 4.53% 12/34 #802852

     131,607      
164,895   

FNMA ARM 4.58% 7/35 #826362

     175,002      
127,617   

FNMA ARM 4.68% 11/34 #735011

     135,093      
29,309   

FNMA ARM 5.12% 6/35 #823810

     31,214      
9,610   

FNMA ARM 5.280% 3/35 #843014

     10,045      
12,967   

FNMA ARM 6.25% 6/36 #886983

     13,669      
671,541   

FNMA ARM 4.198% 11/34 #841068

     715,048      
54,576   

FNMA ARM 4.428% 7/36 #555923

     57,436      
126,330   

FNMA ARM 4.564% 4/33 #713937

     130,853      
75,691   

FNMA ARM 4.58% 7/35 #995273

     80,604      
2,359   

FNMA ARM 4.653% 3/35 #816322

     2,435      
13,760   

FNMA ARM 4.893% 10/35 #847787

     14,428      
13,621   

FNMA ARM 4.898% 5/35 #995272

     14,386      
5,726   

FNMA ARM 5.344% 7/35 #834917

     5,986      
13,997   

FNMA ARM 5.349% 12/34 #843013

     14,602      
103,149   

FNMA ARM 06/42#AO2244

     105,765      
78,613   

FNMA ARM 09/41#AI9813

     82,112      
38,365   

FNMA ARM 10/41#AJ3399

     40,112      
68,280   

FNMA ARM 11/40#AE6806

     71,730      
126,255   

FNMA ARM 3.228% 7/41#AI3469

     133,127      
67,723   

FNMA ARM 3.365% 10/41#AI6819

     71,374      

 

36


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
136,912   

FNMA ARM 3.545% 07/41#AI6050

   $ 144,951      
28,648   

FNMA ARM 3.752% 10/33 #755148

     29,734      
13,764   

FNMA ARM 3.753% 10/33 #746320

     14,452      
1,285   

FNMA ARM 3.984% 5/33 #703915

     1,353      
5,746   

FNMA ARM 4.293% 3/35 #815586

     6,105      
10,881   

FNMA ARM 4.358% 10/33 #754672

     11,330      
171,379   

FNMA ARM 4.512% 12/36 #995606

     182,504      
55,203   

FNMA ARM 4.513% 12/34 #802695

     58,170      
173,914   

FNMA ARM 4.53% 10/35 #995414

     184,314      
836,104   

FNMA ARM 4.55% 10/35 #995415

     886,153      
13,743   

FNMA ARM 4.801% 2/33 #695019

     14,303      
12,004   

FNMA ARM 5.05% 7/34 #801635

     12,642      
28,667   

FNR 2002-56 MC 5.5% 9/17

     30,113      
202,969   

FNR 2003-74 PG 4.5% 8/18

     215,358      
310,534   

FNR 2005-106 UF 1ML+30 11/35

     311,658      
321,723   

FNR 2005-90 FC 1ML+25 10/35

     322,364      
143,777   

FNR 2008-29 BG 4.7% 12/35

     150,485      
517,847   

FNR 2008-95 AD 4.5% 12/23

     543,114      
188,898   

FNR 2010-123 DL 3.5% 11/25

     197,020      
375,381   

FNR 2010-135 DE 2.25% 4/24

     382,675      
305,053   

FNR 2010-143 B 3.5% 12/25

     319,863      
232,328   

FNR 2011-23 AB 2.75% 6/25/20

     240,475      
308,012   

FNR 2011-88 AB 2.5% 9/26

     316,736      
957,554   

FNR 2012-15 FP 1ML+38 6/40

     961,231      
377,613   

FNR 2012-94 E 3% 6/22

     392,468      
3,000,000   

FNR 2013-16 GP 3% 03/33

     3,083,455      
1,500,412   

FNR 2013-9 FA 1ML+35 03/42

     1,501,079      
1,300,000   

FORD MTR CR 2.875% 10/01/18

     1,339,337      
730,000   

FORDL 2012-B A3 0.57% 9/15

     730,767      
1,100,000   

FORDL 2013-A A3 0.60% 3/16

     1,100,790      
500,000   

FORDL 2013-B A3 .76% 09/16

     500,027      
760,000   

FORDO 2012-D A3 0.51% 4/17

     759,961      
918,000   

FORDO 2013-A A3 .55% 07/17

     917,835      
820,000   

FORDO 2013-B A3 .57% 6/16

     819,416      
202,000   

FRANCE TELECOM 2.125% 9/16/15

     207,134      
599,387   

G2SF 12-149 LF 1ML+25 12/42

     595,646      

 

37


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
450,000   

GE CAP CORP 1.6% 11/20/17

   $ 447,665      
818,000   

GE CAP CORP 2.25% 11/9/15

     845,698      
950,000   

GE CAP CORP 2.9% 1/09/17

     1,004,603      
570,692   

GECMC 2006-C1 A1A CSTR 3/44

     616,931      
830,000   

GECMC 2006-C1 A4 CSTR 3/44

     892,645      
1,110,000   

GEMNT 2009-4 A 3.8% 11/17

     1,141,005      
1,170,000   

GEMNT 2012-1 A 1.03% 1/18

     1,173,765      
3,480,000   

GEMNT 2012-5 A 0.95% 6/15/18

     3,487,392      
960,000   

GENERAL ELEC CAP CO 1.625% 4/18

     953,214      
620,000   

GENERAL ELEC MTN 3.35% 10/17/16

     662,876      
593,996   

GMACC 2004-C2 A4 5.301% 8/38

     602,486      
243,077   

GNMA 15YR 4.00% 1/25 #723552

     259,060      
184,736   

GNMA 15YR 4% 03/25#737348

     196,884      
203,069   

GNMA 15YR 4% 04/25#737164

     216,422      
246,514   

GNMA 15YR 4% 05/25#737261

     262,724      
331,919   

GNMA 15YR 4% 06/25#676681

     353,744      
178,551   

GNMA 15YR 4% 10/24#710940

     190,292      
261,040   

GNMA 30YR 5.5% 06/35#783800

     289,748      
544,268   

GNMA 30YR 5.5% 11/35#783799

     603,550      
786,270   

GNR 13-41 PA 2.5% 04/40

     788,124      
120,158   

GNR 2010-112 PM 3.25% 9/33

     121,822      
153,778   

GNR 2010-99 PT 3.5% 8/33

     155,975      
1,465,443   

GNR 2012-149 MF 1ML+25 12/42

     1,456,274      
404,432   

GNR 2013-37 F 0.4712% 3/20/43

     402,642      
1,056,125   

GNR 2013-9 F VAR 1ML+25 1/43

     1,053,596      
870,000   

GOLDMAN SAC GRP 3.625% 2/07/16

     925,613      
630,000   

GOLDMAN SACH MTN 1.6% 11/23/15

     637,835      
783,000   

GOLDMAN SACHS MTN 3.7% 8/1/15

     827,402      
630,000   

GSINC 2.375% 1/22/18

     638,722      
310,000   

GSINC 2.9% 07/19/18

     319,370      
511,356   

GSMS 04-GG2 A6 CSTR 8/38

     518,777      
542,647   

GSMS 2006-GG6 A1A CSTR 4/38

     588,209      
24,745   

GSMS 2006-GG6 A2 5.506% 4/38

     24,854      
692,083   

GSMS 2006-GG8 A1A 5.547% 11/39

     761,494      
301,071   

GSMS 2011-GC5 A1 CSTR 8/44

     303,300      
143,604   

GSMS 2012-GC6 A1 1.282% 1/45

     144,254      

 

38


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
92,980   

GSMS 2013-GC10 A1 .696% 2/46

   $ 92,449      
250,000   

GSMS 2013-GC10 A2 1.84% 2/46

     249,210      
435,751   

GSMS 2013-GC12 A1 VAR 06/46

     432,249      
450,000   

HAROT 2013-2 A3 .53% 2/17

     449,760      
760,000   

HAROT 2013-3 A3 0.77% 05/17

     761,974      
1,227,000   

HART 2013-A A3 0.56% 7/17

     1,227,163      
1,100,000   

HART 2013-B A3 .71% 09/17

     1,101,776      
340,000   

HART 2013-C A3 1.01% 02/18

     341,648      
630,000   

HEWLETT-PACKARD 2.625% 12/9/14

     641,478      
1,270,000   

HSBC 1.5% 05/15/18 144A

     1,241,949      
1,200,000   

HSBC BANK 3.1% 5/24/16 144A

     1,260,685      
555,000   

HSBC USA INC 1.625% 1/16/18

     551,150      
620,000   

HSBC USA INC 2.375% 2/13/15

     638,272      
333,000   

HSBC USA INC 2.625% 09/24/18

     340,802      
299,000   

HUNTINGTON NATL BK 1.35% 8/16

     300,540      
430,000   

HUNTINGTONBK 1.3% 11/20/16

     430,669      
166,000   

HYUNDAI CAP 1.875% 8/9/16 144A

     167,818      
318,000   

HYUNDAI CAP AM 1.625% 10/15 144

     320,869      
812,000   

IBM CORP 1.95% 7/22/16

     841,143      
630,000   

INTEL CORP 1.35% 12/15/17

     622,756      
451,000   

INTERCONT EXCH 2.5% 10/15/18

     456,681      
600,000   

JP MORGAN CHASE 1.125% 2/26/16

     603,331      
191,264   

JPMCC 2005-LDP2 A3 4.697 7/42

     195,241      
1,562,592   

JPMCC 2006-CB16 A1A 5.546% 5/45

     1,719,971      
1,231,338   

JPMCC 2006-LDP7 A1A CSTR 4/45

     1,358,475      
220,816   

JPMCC 2007-LD11 A2 CSTR 6/49

     223,595      
432,457   

JPMCC 2011-C5 A1 1.600% 8/46

     436,598      
600,000   

JPMCC 2012-C6 A2 2.2058% 5/45

     611,981      
314,181   

JPMCC 2013-C10 .7302% 12/15/47

     311,543      
650,000   

JPMORGAN CHASE & CO 2% 8/15/17

     663,976      
630,000   

JPMORGAN CHASE 1.1% 10/15/15

     633,866      
1,028,000   

JPMORGAN CHASE CO 3.4% 6/24/15

     1,068,196      
417,000   

KEYBANK NATL 1.65% 2/1/18

     412,765      
970,000   

KEYCORP MTN 2.3% 12/13/18

     965,420      
746,989   

LBUBS 05-C1 A1A 4.581% 2/15/30

     770,725      
556,794   

LBUBS 2004-C8 4.799% 12/29

     567,721      

 

39


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
210,000   

LBUBS 2006-C6 A4 5.372% 9/39

   $ 229,686      
1,600,000   

MANITOBA (PROV) 1.125% 6/1/18

     1,562,311      
666,000   

MARSHMCLEN 2.55% 10/15/18

     671,076      
1,000,000   

MASSMUTUAL GBL 2.1% 8/2/18 144A

     1,000,136      
1,490,000   

MASSMUTUAL GLB 3.125% 4/16 144A

     1,569,533      
1,250,000   

MASSMUTUAL GLBL 2% 4/5/17 144A

     1,259,190      
1,130,000   

MBALT 2013-A A3 .59% 02/16

     1,130,931      
997,000   

MBALT 2013-B A3 0.62% 07/16

     997,444      
790,000   

MBART 2013-1 A3 0.78% 08/17

     792,026      
122,000   

MCKESSON CORP 0.95% 12/04/15

     122,008      
715,000   

MDAMERICAN ENR 2% 11/15/18 144A

     705,725      
346,000   

MERRILL LYNCH 5.45% 7/15/14

     363,677      
1,489,000   

MET LIFE GLBL 1.5% 1/18 144A

     1,458,169      
1,000,000   

MET LIFE GLBL 2.5% 9/29/15 144A

     1,036,317      
2,212,000   

MET LIFE GLBL FD 2% 1/9/15 144

     2,268,923      
273,000   

METLIFE INC STEP 12/15/17

     270,199      
189,000   

MICROSOFT CORP .875% 11/15/17

     186,208      
1,530,000   

MIZUHO CORP BK 1.55% 10/17 144A

     1,499,568      
2,317,325   

MLCFC 2006-3 A4 CSTR 7/46

     2,522,342      
280,187   

MLMT 05-CKI1 A1A CSTR 11/37

     299,084      
925,641   

MLMT 2006-C2 A1A CSTR 8/43

     1,020,253      
200,000   

MORGAN STANL MTN 4.2% 11/20/14

     207,317      
630,000   

MORGAN STANLEY 2.125% 4/25/18

     626,725      
561,000   

MORGAN STANLEY 3.45% 11/2/15

     587,120      
610,000   

MORGAN STANLEY 4% 7/24/15

     647,568      
500,634   

MSBAM 2012-C5 A1 .916% 8/45

     502,295      
1,040,000   

MSBAM 2012-C5 A2 1.972% 8/45

     1,058,161      
551,349   

MSC 2006-HQ9 A4 CSTR 7/44

     603,071      
1,228,233   

MSC 2006-IQ11 A1A CSTR 10/42

     1,337,023      
550,000   

MSTDW 1.75% 2/25/16

     560,721      
334,000   

NALT 2012-B A4 0.74% 9/18

     334,399      
1,280,000   

NALT 2013-A A3 .61% 04/16

     1,280,174      
1,140,000   

NAROT 2013-A A3 .50% 5/17

     1,139,661      
932,000   

NAROT 2013-B A3 0.84% 11/17

     934,721      
630,000   

NATIONAL AUSTR 1.6% 8/07/15

     644,075      
630,000   

NATIONAL AUSTR NY BR 2% 3/9/15

     645,100      

 

40


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
810,000   

NCUA GTD NTS MA 1.4% 6/12/15

   $ 823,097      
176,167   

NEF 2005-1 A5 4.74% 10/45

     173,408      
1,590,000   

NEW YORK LIFE 1.3% 10/17 144A

     1,541,971      
950,000   

NORDEA BK AG .875% 5/16 144A

     946,323      
595,000   

PEPSICO INC 7.9% 11/01/18

     751,216      
630,000   

PHILIP MORRIS 1.125% 8/21/17

     619,896      
650,000   

PHILIP MORS INT 1.875% 1/15/19

     636,524      
900,000   

PHILIP MORS INT 2.5% 5/16/16

     936,768      
630,000   

PNC BK NA 1.3% 10/3/16

     636,257      
660,000   

PNCFUND MTN 3.625% 2/8/15

     692,224      
630,000   

PRICOA GLBL F 1.6% 5/18 144A

     611,286      
1,182,000   

PROCTER & GAMBLE 1.6% 11/15/18

     1,165,988      
1,280,000   

RABOBANK NDL 1.7% 3/19/18

     1,269,730      
989,000   

RABOBNK NEDRLD MTN 2.125% 10/15

     1,019,047      
1,017,000   

RIO TINTO FIN 1.375% 06/17/16

     1,033,383      
630,000   

RIO TINTO FIN 1.625% 8/21/17

     633,191      
535,000   

ROYAL BANK CAN 1.45% 09/09/16

     544,907      
1,000,000   

ROYAL BK CAN GL .85% 03/08/16

     1,001,219      
1,270,000   

ROYAL BK CAN GL 1.5% 01/14/18

     1,253,367      
982,000   

ROYAL BK CANADA 2.3% 7/20/16

     1,025,203      
1,382,000   

ROYAL BK CDA 2.2% 7/27/18

     1,399,756      
735,000   

ROYAL BK CDA GBL .8% 10/30/15

     737,808      
2,172,000   

ROYAL BK SCOTLND 2.55% 9/18/15

     2,237,275      
1,275,000   

SABMILLER HLDG 2.2% 8/1/18 144A

     1,283,113      
1,200,000   

SHELL INTL FIN .9% 11/15/16

     1,201,134      
950,000   

SHELL INTL FIN 1.125% 8/21/17

     940,385      
630,000   

SHERWIN WILLIAM 1.35% 12/15/17

     613,545      
650,000   

SIMON PROPERTY 2.15% 9/15/17

     662,833      
142,000   

SIMON PROPERTY 2.8% 1/30/17

     148,493      
113,075   

SLMA 2004-A B 3ML+58 6/33

     103,263      
1,233,000   

SLMA 2012-7 A2 1ML+28 9/19

     1,228,876      
1,520,000   

SLMA 2013-1 A2 1ML+25 9/19

     1,510,629      
940,000   

SUMITOMO MITSUI BKG 1.8% 7/17

     940,212      
250,000   

SUMITOMO MITSUI BKG 2.5% 7/18

     253,799      
1,208,000   

SUNTRUST 2.35% 11/01/18

     1,206,175      
710,000   

TAOT 2013-A A3 .55% 01/17

     710,078      

 

41


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
115,000   

THERMO FISHER 2.4% 02/01/19

   $ 114,020      
311,000   

THOMSON CORP .875% 5/23/16

     309,079      
217,000   

THOMSON REUTER CRP 1.3% 2/23/17

     216,338      
1,590,000   

TORONTO DOM 1.4% 4/30/18

     1,550,053      
1,213,000   

TORONTO DOM BK 2.5% 7/14/16

     1,272,197      
1,835,000   

TORONTO DOMINI 2.375% 10/19/16

     1,913,725      
1,626,000   

TORONTO DOMINI 2.625% 09/10/18

     1,670,641      
666,000   

TOTAL CAP CDA L 1.45% 01/15/18

     662,570      
620,000   

TOTAL CAP INTL 1.55% 6/28/17

     619,971      
638,000   

TOTAL CAPITAL SA 1.5% 2/17/17

     642,675      
960,000   

TOYOTA MOTOR CRD 1.25% 10/5/17

     944,879      
928,000   

TRANSCAPIT 5.67% 3/5/14 144A

     951,729      
132,000   

TYCO ELECTR GR 2.375% 12/17/18

     130,407      
455,516   

UBSBB 2012-C2 A1 1.006% 5/63

     457,115      
337,299   

UBSBB 2012-C4 A1 .6728% 12/45

     335,995      
366,387   

UBSBB 2013-C6 A1 .805% 4/46

     363,498      
267,465   

UBSCM 2012-C1 A1 1.032% 5/45

     268,772      
520,000   

UBSCM 2012-C1 A2 2.180% 5/45

     530,174      
427,000   

UNION BANK 1.5% 9/26/16

     433,501      
600,000   

UNION BK NA 3% 6/6/16

     628,641      
184,000   

UNITEDHEALTH GRP .85% 10/15/15

     185,067      
131,000   

UNITEDHEALTH GRP 1.4% 10/15/17

     129,678      
475,000   

UNITEDHEALTH GRP 1.875% 11/16

     485,993      
650,000   

US BANCORP MTN 1.95% 11/15/18

     648,070      
1,812,000   

US T NOTES1% 05/31/18

     1,773,397      
712,000   

USAA CAPITAL 1.05% 9/14 144A

     717,093      
12,753,000   

UST NOTES 0.25% 10/31/15

     12,740,500      
18,498,000   

UST NOTES 0.625% 12/15/16

     18,426,799      
3,009,000   

UST NOTES 1.25% 10/31/18

     2,954,522      
6,000,000   

USTN .25% 9/15/15

     5,999,321      
17,800,000   

USTN .5% 7/31/17

     17,457,606      
10,646,000   

USTN .625% 08/15/16

     10,671,963      
9,220,000   

USTN .750% 6/30/17

     9,122,229      
3,679,000   

USTN .875% 1/31/17

     3,695,922      
55,233,000   

USTN .875% 11/30/16

     55,448,090      
24,515,000   

USTN .875% 4/30/17

     24,475,129      

 

42


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
4,557,000   

USTN 1% 3/31/17

   $ 4,578,678      
31,006,000   

USTN 1% 9/30/16

     31,349,266      
26,362,000   

USTN 1.375% 11/30/15

     26,897,558      
961,000   

USTN 1.5% 12/31/18

     949,703      
17,027,000   

USTN 1.75% 7/31/15

     17,548,765      
10,060,000   

USTN 3.125% 10/31/16

     10,787,958      
940,000   

VALET 2013-1 A3 .56% 8/17

     938,958      
1,288,000   

VALET 2013-2 A3 0.7% 04/18

     1,286,008      
275,000   

VENTAS RLTY 1.55% 09/26/16

     278,056      
1,300,000   

VERIZON COM 3.65% 09/14/18

     1,389,021      
630,000   

VERIZON COMM 1.1% 11/01/17

     613,821      
950,000   

VODAFONE GRP PLC 1.25% 9/26/17

     931,067      
630,000   

VODAFONE GRUP PLC 1.5% 2/19/18

     617,425      
630,000   

VOLKSWAGEN 1.6% 11/20/17 144A

     622,995      
700,000   

VOLKSWAGEN 2.125% 11/18 144A

     692,944      
610,000   

VOLKSWAGEN 2.375% 3/22/17 144A

     629,789      
820,000   

VWALT 2013-A A3 0.84% 07/16

     823,563      
751,000   

WAL MART STORES 2.25% 7/08/15

     778,988      
590,000   

WAL MART STORES 2.8% 4/15/16

     621,402      
1,300,000   

WAL-MART STORES 1.125% 4/18

     1,264,296      
41,052   

WBCMT 05-C16 APB 4.692% 10/41

     41,338      
1,062,079   

WBCMT 06-C23 A1A CSTR 1/45

     1,148,672      
636,162   

WBCMT 06-C24 A1A CSTR 3/45

     690,473      
1,080,000   

WBCMT 2006-C23 A5 CSTR 1/45

     1,168,286      
290,000   

WBCMT 2006-C25 A5 CSTR 5/43

     318,499      
739,870   

WBCMT 2006-C26 A1A CSTR 6/45

     813,669      
527,875   

WBCMT 2006-C29 A1A 5.297 11/48

     580,992      
11,647,734   

WBCMT 2007-C30 XP CSTR 12/43

     15,012      
305,938   

WBCMT 2007-C31A A2 5.421% 4/47

     307,673      
183,000   

WELLPOINT INC 1.25% 9/10/15

     184,977      
331,000   

WELLPOINT INC 1.875% 1/15/18

     330,012      
455,000   

WELLPOINT INC 2.3% 07/15/18

     455,381      
1,000,000   

WELLS FARGO & CO 2.15% 1/15/19 *

     1,000,084      
1,260,000   

WELLS FARGO 1.5% 01/18 *

     1,259,958      
654,000   

WESTERN UNION CO 2.875% 12/17

     664,779      
1,129,000   

WESTPAC BANKING CRP 2% 8/14/17

     1,143,879      

 

43


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Synthetic Investment Contracts (continued)

     
1,034,951   

WFCM 2013-LC12 A1 1.676% 7/46

   $ 1,037,157      
255,694   

WFRBS 13-C13 A1 0.778% 5/45

     253,448      
261,330   

WFRBS 13-C14 A1 .836% 6/15/46

     258,787      
124,245   

WFRBS 2011-C5 A1 1.456% 11/44

     125,202      
297,457   

WFRBS 2012-C8 A1 .864% 8/45

     296,054      
580,000   

WFRBS 2012-C8 A2 1.881% 8/45

     580,915      
185,324   

WFRBS 2013-C11 A1 .799% 03/45

     183,891      
250,000   

WFRBS 2013-C14 A2 2.133% 6/46

     249,829      
810,000   

WOART 2012-A A3 0.64% 2/17

     811,325      
560,000   

WOART 2013-A A3 .64% 4/16/18

     559,578      
420,000   

WOLS 2012-A A3 0.93% 11/15

     421,196      
1,170,000   

WOLS 2013-A A3 1.10% 12/16

     1,174,731      
1,300,000   

WPACBKG 1.6% 1/12/18

     1,289,863      
782,000   

XEROX CORP 2.75% 03/15/19

     776,100      
  

Total Wrap Rebid Value

     111,414      
     

 

 

  

Total Synthetic Investment Contracts

   $ 637,844,502      
  

Mutual Funds

     
  

Fidelity BrokerageLink*

   $ 242,453,712      
4,064,934   

Dodge & Cox Stock Fund*

     686,445,375      
5,015,796   

DFA Emerging Markets Core Equity Portfolio Institutional Class Fund*

     97,607,393      
7,958,157   

Manning & Napier Overseas Fund*

     209,379,100      
4,675,381   

PIMCO Short Term Portfolio Institutional Class*

     44,556,381      
     

 

 

  

Total Mutual Funds

   $ 1,280,441,961      
  

U.S. Government and Agency Securities

     
  

United States Treasury Notes

     
4,000,000   

US T-NOTES 2% 2/15/23

   $ 3,703,752      
17,000,000   

UST NOTES 1.75% 10/31/2020

     16,289,451      
28,500,000   

USTN 1.375% 06/30/18

     28,275,107      
32,400,000   

USTN 1.50% 8/31/18

     32,217,750      
16,000   

USTN 1.625% 8/15/22

     14,513      
10,600,000   

USTN 2% 07/31/20

     10,400,423      
5,000,000   

USTN 2% 09/30/20

     4,881,250      
2,400,000   

USTN TII 0.625% 02/15/2043

     1,874,050      
7,000,000   

USTN TII 1.75% 1/15/28

     8,352,657      

 

44


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

U.S. Government and Agency Securities (continued)

     
  

United States Treasury Notes (continued)

     
1,060,000   

USTN TII 2% 1/15/26

   $ 1,381,785      
400,000   

USTN TII 2.375% 1/15/25

     569,831      
1,100,000   

USTN TII 2.375% 1/15/27

     1,467,549      
1,150,000   

USTN TII 2.5% 1/15/29

     1,468,811      
100,000   

USTN TII 3.875% 4/15/29

     194,673      
     

 

 

  

Total United States Treasury Notes

   $ 111,091,602      
  

United States Treasury Bills

     
420,000   

US T BILLS 0% 02/06/14

   $ 419,994      
8,500,000   

US T BILL 0% 01/16/14

     8,499,958      
1,200,000   

US T BILL 0% 01/30/14

     1,199,986      
     

 

 

  

Total United States Treasury Bills

   $ 10,119,938      
  

Federal Agency Obligations

     
  

Federal National Mortgage Association

     
1,350,281   

FNMA       4.50% 4/41 #AL0215

   $ 1,433,123      
209,250   

FNMA       4.50% 9/41 #AB3517

     222,088      
128,567   

FNMA       5.00% 4/41 #AI0511

     140,219      
188,150   

FNMA       5.00% 5/41 #AI1863

     205,203      
844,073   

FNMA       5.00% 5/41 #AI1892

     920,572      
239,924   

FNMA       5.00% 5/41 #AI2433

     261,668      
144,572   

FNMA       5.00% 5/41 #AI2443

     157,674      
148,267   

FNMA       5.00% 5/41 #AI2462

     161,704      
104,022   

FNMA       5.00% 5/41 #AI2737

     113,450      
82,478   

FNMA       5.00% 6/41 #AI4261

     89,953      
691,130   

FNMA       5.00% 11/40 #AL0476

     753,336      
196,134   

FNMA       5.50% 8/38 #995072

     216,046      
40,119   

FNMA       6.00% 5/35 #821192

     44,394      
27,646   

FNMA       6.00% 9/37 #952504

     30,641      
18,691   

FNMA       6.00% 10/35 #745000

     20,683      
13,728   

FNMA       6.50% 1/37 #897910

     15,197      
29,700   

FNMA       6.50% 5/36 #895817

     33,041      
49,830   

FNMA       6.50% 8/36 #745744

     55,415      
31,910   

FNMA       6.50% 9/36 #897131

     35,499      
623,726   

FNMA       6.50% 10/41 #AL0814

     690,283      
587,120   

FNMA       6.50% 10/41 #AL0886

     658,373      
455,413   

FNMA    6.50% 10/41 #AL0885

     506,541      

 

45


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

U.S. Government and Agency Securities (continued)

     
  

Federal Agency Obligations (continued)

     
  

Federal National Mortgage Association (continued)

     
159,917   

FNMA 20YR 4.50% 4/31 #MA0706

   $ 171,577      
540,349   

FNMA 20YR 4.50% 5/31 #MA0734

     579,748      
162,257   

FNMA 20YR 4.50% 6/31 #MA0776

     174,088      
530,009   

FNMA 20YR 3.50% 12/31 #MA0919

     542,513      
1,141,381   

FNMA 20YR 4% 10/30#AE5114

     1,200,854      
4,959,763   

FNMA 30YR 3% 05/43#AR8293

     4,714,237      
791,404   

FNMA 30YR 3% 08/43#AU3735

     752,226      
39,000,000   

FNMA 30YR 3.5% 02/44 #TBA

     38,611,525      
24,000,000   

FNMA 30YR 4% 01/44 #TBA

     24,710,556      
23,311   

FNMA 30YR 4% 02/34#763516

     24,111      
20,000,000   

FNMA 30YR 4% 02/44 #TBA

     20,528,066      
10,000,000   

FNMA 30YR 4.5% 02/44 #TBA

     10,566,254      
5,000,000   

FNMA 30YR 5% 01/44 #TBA

     5,431,866      
5,000,000   

FNMA 30YR 5% 02/44 #TBA

     5,414,288      
4,000,000   

FNMA 30YR 5.5% 01/44 #TBA

     4,403,438      
324,380   

FNMA ARM 5.51% 2/37 #913990

     336,578      
94,226   

FNR 11-15 AB 9.75% 8/19

     106,785      
116,935   

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

     116,741      
285,182   

FNR 2010-110 AE 9.75% 11/18

     323,535      
280,540   

FNR 2010-118 YB IO INV 10/40

     36,650      
379,858   

FNR 2011-63 SW IO INV 7/41

     50,234      
188,572   

FNS 390 C3 IO 6% 7/38

     32,661      
109,316   

FNS 407 40 0 1/38

     20,201      
216,361   

FNS 407 41 IO 6% 1/38

     41,186      
26,490   

FNS 407 C22 IO 1/39

     5,182      
     

 

 

  

Total Federal National Mortgage Association

   $ 125,660,203      
  

Government National Mortgage Association

     
93,724   

GNII       5.00%  9/40 #004802

   $ 102,321      
82,382   

GNII       6.00% 11/40 #004871

     91,782      
210,877   

GNII II    4.50%  1/41 #004946

     225,594      
3,126,662   

GNII II    4.50%  3/41 #004978

     3,344,870      
103,751   

GNII II    4.50%  4/41 #005017

     110,992      
58,053   

GNII II    4.50%  7/40 #004923

     62,104      

 

46


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

U.S. Government and Agency Securities (continued)

     
  

Federal Agency Obligations (continued)

     
  

Government National Mortgage Association (continued)

     
59,263   

GNII II    4.50% 11/40 #004854

   $ 63,398      
179,318   

GNII II    4.50% 12/40 #004883

     191,833      
47,109   

GNII II    5.00%  7/40 #004747

     51,356      
486,883   

GNII II    5.00%  8/40 #004772

     531,542      
19,044   

GNII II    6.00%  3/40 #004660

     21,099      
418,478   

GNII II    6.00%  8/40 #004774

     464,320      
646,715   

GNII II    6.00% 10/40 #004837

     719,136      
98,008   

GNII II    6.00% 11/39 #004580

     108,310      
202,409   

GNII II    6.50% 10/37 #004040

     226,910      
188,815   

GNMA II    5.00%  7/40 #783050

     205,839      
61,716   

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

     9,926      
219,899   

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

     30,580      
95,214   

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

     18,876      
97,386   

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

     10,896      
327,694   

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

     65,165      
447,620   

GNR 2009-106 SU IO INV 5/37

     61,771      
104,794   

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

     14,469      
336,041   

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

     62,482      
282,346   

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

     49,589      
92,268   

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

     11,712      
1,668,153   

GNR 2009-HO1 FA 1.4% 11/59

     1,699,550      
172,699   

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

     20,728      
107,286   

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

     21,935      
515,483   

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

     69,499      
894,087   

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

     132,960      
499,890   

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

     55,702      
399,650   

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

     51,939      
226,117   

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

     46,354      
250,658   

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

     46,210      
240,241   

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

     43,565      
329,529   

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

     40,153      
196,500   

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

     22,741      
145,528   

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

     23,526      
52,930   

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

     5,402      

 

47


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

U.S. Government and Agency Securities (continued)

     
  

Federal Agency Obligations (continued)

     
  

Government National Mortgage Association (continued)

     
86,963   

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

   $ 16,950      
86,963   

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

     15,097      
179,408   

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

     28,027      
790,021   

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

     115,508      
275,638   

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

     49,945      
454,685   

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

     75,157      
479,217   

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

     72,705      
680,525   

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

     105,083      
197,703   

GNR 2010-69 SP -1ML+665 6/38

     22,946      
90,671   

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

     15,361      
136,273   

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

     23,409      
87,539   

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

     14,658      
279,023   

GNR 2010-87 SK IML+650 7/40

     45,748      
750,402   

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

     760,649      
1,333,824   

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

     1,317,935      
1,239,449   

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

     1,225,278      
760,685   

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

     121,395      
67,087   

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

     10,509      
203,708   

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

     32,064      
460,061   

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

     61,115      
340,299   

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

     46,931      
349,659   

GNR 2011-H09 AF IML+50 3/61

     348,123      
     

 

 

  

Total Government National Mortgage Association

   $ 13,661,729      
  

Freddie Mac

     
3,674,399   

FHMS K006 AX1 CSTR 1/20

   $ 185,708      
1,054,615   

FHMS K007 X1 CSTR 4/20

     59,799      
1,145,300   

FHMS K008 X1 CSTR 6/25/20

     91,643      
1,116,042   

FHMS K009 X1 CSTR 8/20

     81,353      
4,322,941   

FHMS K014 X1 IO CSTR 4/21

     315,743      
437,234   

FHMS K702 X1 CSTR 2/18

     23,838      
2,561,348   

FHMS K703 X1 CSTR 5/18

     200,508      
1,513,887   

FHMS KAIV X1 CSTR 6/46

     112,429      
29,397   

FHR 2808 FT 1ML+35 4/33

     29,404      
100,000   

FHR 3738 BP 4% 12/38

     102,669      
     

 

 

  

Total Freddie Mac

   $ 1,203,094      

 

48


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

U.S. Government and Agency Securities (continued)

     
  

Federal Agency Obligations (continued)

     
  

Federal Home Loan Mortgage Corporation

     
1,212,224   

FHLG 5.00% 3/38 #A74793

   $ 1,307,592      
94,083   

FHLG 5.50% 11/35 #A39302

     103,076      
398,631   

FHLG 5.50% 12/38 #G06172

     435,364      
1,066,811   

FHLG 6.00% 6/38 #G04715

     1,175,867      
1,836,245   

FHLG 6.00% 11/39 #G06409

     2,023,958      
156,149   

FHLG 6.50% 9/39 #G06669

     174,012      
27,361   

FHLM ARM 5.65% 9/37 #1G3704

     28,457      
45,475   

FHLM ARM 5.84% 2/37 #1N1447

     47,560      
114,486   

FHLM ARM 5.95% 5/37 #1N1582

     118,992      
129,731   

FHLM ARM 6.03% 5/37 #1N1463

     137,880      
128,395   

FHLM ARM 4.433% 7/35 #1B3925

     135,665      
200,000   

FHLMCDN 0% 01/06/14

     200,000      
     

 

 

  

Total Federal Home Loan Mortgage Corporation

   $ 5,888,423      
  

Federal Home Loan Bank

     
9,800,000   

FHLB DN 0% 1/29/14

   $ 9,799,853      
300,000   

FHLBDN 0% 01/02/14

     300,000      
5,500,000   

FHLBDN 0% 01/17/14

     5,499,956      
8,000,000   

FHLBDN 0% 01/24/14

     7,999,904      
3,200,000   

FHLBDN 0% 1/03/14

     3,199,997      
1,300,000   

FHLBDN 0% 1/08/14

     1,299,996      
20,600,000   

FHLBDN 0% 1/15/14

     20,599,856      
     

 

 

  

Total Federal Home Loan Bank

 

   $

 

48,699,562

 

  

 

  
     

 

 

  

Total U.S. Government and Agency Securities

   $ 316,324,551      
  

Other Fixed Income Securities

     
  

Foreign Governmental Obligations

     
2,550,000   

BRAZIL 0% 1/1/17

   $ 7,617,499      
1,230,900   

MEXICAN CETES 0% 1/16/14

     93,324      

 

49


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Foreign Governmental Obligations (continued)

     
17,269,100   

MEXICAN CETES 0% 6/12/14

   $ 1,302,672      
6,580,000   

MEXICAN CETES 0% 6/26/14

     495,341      
4,529,000   

MEXICAN GOVT 0% 02/13/14

     345,542      
11,871,000   

MEXICAN GOVT 0% 03/20/14

     902,392      
90,000   

MEXICO GOV 6.05% 1/11/40

     97,875      
1,800,000   

MEXICO GOVT 0% 3/27/14

     136,815      
3,620,000   

MEXICO GOVT 0% 5/15/14

     273,658      
411,000   

MEXICO GVT GLB 6.75% 9/27/34 EC

     484,980      
859,430   

RUSSIAN FD STP CPN 3/31/30REGS

     1,002,955      
1,200,000   

SLOVENIA GOV 4.7% 11/1/16 144A

     1,695,413      
700,000   

TOKYO ELECTRIC 4.5% 3/24/14

     967,680      
     

 

 

  

Total Foreign Governmental Obligations

   $ 15,416,146      
  

Foreign Obligations

     
169,000   

AMERICA MOVIL 5.625% 11/15/17

   $ 190,364      
1,000,000   

BANCO BRASIL 3.875% 10/10/22

     870,000      
190,000   

BANK TOKYO MIT 3.85% 1/15 144A

     195,998      
800,000   

BBVA US SENIOR 3.25% 5/16/14

     806,422      
680,000   

BP CAP MARKETS 3.125% 10/1/15

     710,429      
130,000   

COMMNWLTH BNK AUST 5% 10/19 144

     144,817      
300,000   

COMWLTH BK AUS 3.75% 10/14 144A

     307,641      
202,000   

DEUTSCHE TK GLBL 5.75% 3/23/16

     221,776      
945,000   

DIAGEO CPTL PLC 4.828% 7/15/20

     1,045,236      
800,000   

DNB BK ASA MTN 3.2% 4/17 144A

     836,062      
187,719   

DORIC NIMROD 5.125% 11/24 144A

     190,535      
1,000,000   

EKSPORTFINANS 1.6% 3/20/14

     9,482      
300,000   

EKSPORTFINANS 2.375% 5/25/16

     295,125      
500,000   

EKSPORTFINANS 5.5% 5/25/16 GLB

     527,500      
200,000   

EKSPORTFINANS GLB MTN 5.5% 6/17

     210,900      
100,000   

EKSPORTFINANS MTN 3% 11/17/14

     100,400      
800,000   

EKSPORTFINS A/S MTN 2% 9/15/15

     788,000      
900,000   

EXP IMP BK KOREA 1.75% 2/27/18

     875,756      
2,100,000   

EXP-IMP BANK KOREA 5% 4/11/22

     2,279,533      
400,000   

EXPORT IMP BK KORE MTN 4% 1/21

     410,261      
400,000   

EXPORT IMP KOR 1.25% 11/20/15

     401,233      

 

50


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Foreign Obligations (continued)

     
700,000   

EXPORT IMP KORE 4.375% 9/15/21

   $ 730,146      
202,000   

FRENSENIUS MED 6.875% 7/15/17

     229,270      
411,000   

GLITNIR 3ML+273.25 6/16 144A

     -        
279,000   

GLITNIR BK MTN 6.33% 7/11 144A

     81,608      
120,000   

HBOS PLC 5.25% 2/21/17 144A

     133,839      
160,000   

ICICI BK 6.375% VAR 4/22 REGS

     153,200      
244,000   

ICICI BK LTD 6.375% VAR4/22 144

     233,630      
120,000   

KAUPTHING BK 5.75% 10/4/11 144A

     29,100      
1,177,000   

KAUPTHING BK 7.625% 2/28/15144

     285,423      
130,000   

KAUPTHING MTN 7.125% 5/19 144A

     -        
1,100,000   

KFW 3.5% 3/10/14

     1,106,369      
212,000   

KPN NV GLBL 8.375% 10/01/30

     268,144      
641,000   

LANDSBANK IS MTN 6.1% 8/11 144A

     57,690      
660,000   

NORDEA BK 4.875% 5/13/21 144A

     681,328      
430,000   

NORDEA BK MTN 3.7% 11/14 144A

     441,939      
20,000   

POTASH CORP 4.875% 3/30/20

     21,615      
2,920,000   

RENTENBANK 2.5% 2/15/16

     3,034,879      
63,000   

ROGERS CABLE 6.75% 3/15/15

     67,487      
30,000   

ROGERS COMMUNIC 6.8% 8/15/18

     35,738      
70,000   

ROYAL BK SC 7.648% PERP T1

     73,150      
90,000   

ROYAL BK SCOTLAND 5% 10/1/14

     91,974      
520,000   

ROYAL BK SCTLND 6.4% 10/21/19

     598,868      
110,000   

ROYAL BK SCTLND GLB 5.05% 1/8/15

     113,256      
600,000   

SHELL INTL FIN 4.375% 3/20

     657,007      
280,000   

SHELL INTL FIN 6.375% 12/15/38

     346,642      
10,000   

SUMITOMO BK 3.1% 1/14/16 144A

     10,376      
30,000   

SUMITOMO BKG 3.15% 7/22/15 144A

     31,022      
100,000   

TNK BP FI MTN 6.625% 3/17 144A

     110,500      
100,000   

UK GILT 1.75% 9/7/22

     151,286      
200,000   

UNITED BUSNS 5.75% 11/20 144A

     207,683      
110,000   

UPCB FIN III 6.625% 7/20 144A

     116,875      
320,000   

WPP FIN UK GTD SR NT 8% 9/15/14

     335,921      
     

 

 

  

Total Foreign Obligations

   $ 21,853,435      

 

51


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Domestic Obligations

     
18,000   

AES CORP 8% 6/1/20

   $ 21,060      
160,000   

AIG 6.25% 87-37 HYBRD

     160,000      
260,000   

ALLY FINANCIAL INC 8% 3/15/20

     311,675      
400,000   

ALLY FINL INC 2.75% 01/30/2017

     401,500      
200,000   

ALLY FINL INC 3.5% 07/18/16

     206,369      
780,000   

ALLY FINL INC 7.5% 9/15/20

     908,700      
380,000   

ALTRIA GROUP INC 4.75% 5/05/21

     407,281      
67,000   

ALTRIA GROUP INC 9.25% 8/6/19

     88,213      
84,000   

AMERADA HES CO 7.875% 10/01/29

     106,803      
142,000   

AMERADA HESS CO 7.3% 8/15/31

     172,989      
100,000   

AMERICA MOVIL 5% 3/30/20

     108,187      
322,000   

AMERICAN EXP CO 2.65% 12/2/22

     298,232      
353,000   

AMEX 6.8% 9/01/66

     376,122      
115,000   

ANADARKO PETRO 6.375% 9/15/17

     131,977      
420,000   

ANHEUSER BUSCH 5% 4/15/20

     474,786      
360,000   

ANHEUSER BUSCH 5.375% 1/15/20

     412,714      
30,000   

AT&T INC 3.875% 8/15/21

     30,352      
167,000   

AT&T INC 5.5% 2/01/18

     187,908      
468,057   

AWAS AVIATION TERM 7/16/18

     469,227      
14,000   

BAC CAP XIV 5.63% VR PERP

     10,570      
670,000   

BANK AMER 4.5% 4/1/15

     700,938      
182,000   

BANK AMER MTN 6.5% 8/1/16

     205,481      
600,000   

BANK OF AMER MTN 7.625% 6/1/19

     744,150      
40,000   

BANK OF AMERICA 5.625% 7/01/20

     45,657      
725,000   

BANK OF AMERICA 6% 9/01/17

     827,480      
200,000   

BANKAMER 5.75% 12/1/17

     227,529      
120,000   

BERK HATH INC 3.2% 2/11/15

     123,684      
4,048,904   

BIOMET TERM B-2 07/25/17

     4,079,271      
1,084,000   

BK OF AMER GLB 5.625% 10/16 MTN

     1,207,906      
288,000   

CALPINE CORP 7.5% 2/15/21 144A

     314,280      
152,000   

CALPINE CORP 7.875% 1/23 144A

     166,060      
300,000   

CC HOLDINGS 3.849% 4/15/23 WI

     280,831      
1,220,000   

CCO HLDGS/CAP CORP 7% 1/15/19

     1,285,575      
40,000   

CF INDUS HLDS 7.125% 5/1/20

     46,886      
1,477,000   

CIT GROUP NEW 4.75% 2/15 144A

     1,530,541      

 

52


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Domestic Obligations (continued)

     
1,010,000   

CITIGROUP 3.953% 6/15/16

   $ 1,074,473      
2,083,000   

CITIGROUP 5% 9/15/14

     2,142,334      
650,000   

CITIGROUP 5.375% 8/09/20

     738,613      
102,000   

CITIGROUP 6.375% 8/12/14

     105,429      
202,000   

CITIGROUP MTN 6.01% 1/15/15

     212,715      
72,000   

CITIGROUP MTN 5.5% 10/15/14

     74,675      
20,000   

COMCAST CORP 6.3% 11/15/17

     23,283      
697,000   

COMCAST CORP 6.5% 1/15/15

     739,044      
30,000   

COMCAST CORP 6.95% 8/15/37

     36,769      
250,000   

CONOCOPHILLIPS 6% 1/15/20

     292,969      
450,000   

CONTINENTL AIR 6.75% 9/15 144A

     464,063      
390,000   

COUNTRYWIDE FIN 6.25% 5/15/16

     430,338      
346,197   

CVS CAREMARK 6.943% 1/10/30

     396,190      
450,000   

DAIMLER FIN 2.625% 9/15/16144A

     465,313      
150,000   

DAIMLER FINANCE 3.875 9/21 144

     151,175      
990,000   

DAVITA TERM B-2 11/01/19

     997,425      
4,200,000   

DELL TERM B 04/29/20

     4,210,500      
700,000   

DENALI/FN 5.625% 10/15/20 144A

     693,875      
30,000   

DEVON ENERGY CO 5.6% 7/15/41

     31,160      
320,000   

DISH DBS CORP 6.75% 6/01/21

     339,200      
125,000   

DISH DBS CORP 7.875% 9/01/19

     143,125      
1,280,000   

DNB BOLIGKED AS 2.9% 3/16 144A

     1,339,008      
260,000   

DOMINION RESOUR 8.875% 1/15/19

     330,200      
105,000   

ECHOSTAR DBS 7.75% 5/31/15

     113,925      
6,000   

EDISON MISSION 7.625% 5/27

     4,545      
613,000   

EL PASO CORP 7% 6/15/17

     693,080      
125,000   

EL PASO ENERGY MTN 7.8% 8/1/31

     126,846      
91,000   

EL PASO ENGY MTN 7.75% 1/15/32

     92,370      
460,000   

EL PASO NAT GAS 8.375% 6/15/32

     590,313      
10,000   

ENTERPRISE PRD 5.7% 2/15/42

     10,508      
500,000   

ENTERPRISE PRD 9.75% 1/31/14

     503,498      
430,000   

ENTERPRISE PROD 4.05% 2/15/22

     435,144      
300,000   

ENTERPRISE PROD 5.2% 9/1/20

     333,324      
18,000   

EXELON CORP 5.625% 6/15/35

     17,793      
1,786,000   

FARMER MAC 7-1 5.125 4/17 144A

     2,019,307      

 

53


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Domestic Obligations (continued)

     
506,000   

FORD MOTOR CRD LLC 12% 5/15/15

   $ 580,716      
2,300,000   

FORD MTR CR LLC 4.207% 4/16

     2,450,737      
1,100,000   

FORD MTR CR LLC 4.25% 2/03/17

     1,183,345      
200,000   

FORD MTR CR LLC 5.875% 8/2/21

     226,742      
200,000   

FORD MTR CR LLC 8.125% 1/15/20

     250,090      
100,000   

FORD MTR CREDIT CO 8% 12/15/16

     118,259      
1,040,000   

GOLDMAN SACHS 5.375% 3/15/20

     1,155,353      
21,000   

GOLDMAN SACHS 5.793% VR PERP

     14,763      
100,000   

GOLDMAN SACHS FRN 5/18/15

     137,188      
10,000   

GOLDMAN SACHS GLB 7.5% 2/15/19

     12,174      
1,400,000   

GOLDMAN SACHS GP 5.75% 1/24/22

     1,573,851      
600,000   

GOLDMAN SACHS GROUP 6% 5/1/14

     610,714      
780,000   

GS GRP INC MTN 6.25% 2/01/41

     895,945      
277,000   

HCA INC 5.75% 3/15/14

     279,493      
1,230,000   

HCA INC 6.5% 2/15/20

     1,351,463      
1,596,000   

HEINZ TERM B-2 6/7/2020

     1,609,965      
390,000   

HERTZ 2009-2A A2 5.29% 3/16

     407,825      
123,333   

HERTZ 2010-1A A1 2.6% 2/15

     123,560      
480,000   

HESS CORP 8.125% 2/15/19

     595,917      
660,000   

HSBC FINANCE CO 6.676% 1/21

     757,476      
170,000   

ILFC MTN 6.5% 9/1/14 144A

     175,738      
860,000   

ILFC MTN 6.75% 9/1/16 144A

     958,900      
100,000   

INTL LEASE FIN 8.625% 9/15

     111,000      
320,000   

JP MORGAN CHASE 6.125% 6/27/17

     363,431      
200,000   

JPM 4.375% 21-16 LT2

     287,005      
2,300,000   

JPM 4.625% 17-12 LT2

     3,126,141      
220,000   

JPMC CO 4.25% 10/15/20

     232,926      
700,000   

JPMORGAN CHASE 6% 10/1/17

     800,568      
890,000   

JPMORGAN CHASE 3.15% 7/05/16

     932,999      
70,000   

JPMORGAN CHASE 4.35% 8/15/21

     73,676      
502,000   

JPMORGAN CHASE 5.15% 10/01/15

     536,537      
664,000   

KERR-MCGEE CORP 7.875% 9/15/31

     828,870      
370,000   

KERR-MCGEE GLBL 6.95% 7/1/24

     429,815      
210,000   

KEY ENERGY SRVS 6.75% 3/1/21

     215,250      
60,000   

KINDER MORGAN EN 6.85% 2/15/20

     71,246      

 

54


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Domestic Obligations (continued)

     
204,000   

KINDER MORGAN ENER 6% 2/1/17

   $ 228,644      
413,000   

KRAFT FOODS 5.375% 02/20 WI

     465,444      
190,000   

MEDTRONIC INC MTN 4.45% 3/15/20

     207,991      
850,000   

MERRILL LYNCH 3ME+45 7/22/14

     1,170,280      
280,000   

METLIFE INC 6.75% 6/1/16

     318,349      
801,000   

METLIFE INC GLB 6.4% 12/15/36

     823,028      
35,000   

MGM MIRAGE INC 6.625% 7/15/15

     37,538      
40,000   

NATL SEMICOND GLB 6.6% 6/15/17

     46,729      
50,000   

NEWS AMER INC 4.5% 2/15/21

     53,526      
30,000   

NOBLE ENERGY IN 8.25% 3/01/19

     37,270      
250,000   

NORTHSTR ED FIN 2007-1 OT

     220,991      
420,000   

OCCIDENTAL PETE 3.125% 2/15/22

     408,473      
1,488,750   

OCWEN FINANCIAL TERM B 2/15/18

     1,509,220      
1,525,000   

PA HI ED SLR SR SUBER MM-1 OT

     1,418,808      
400,000   

PA HI ED STUD ARS OT

     393,748      
75,000   

PEPSICO INC 7.9% 11/01/18

     93,704      
370,000   

PFIZER 6.2% 3/15/19

     438,379      
105,000   

PG&E 8.25% 10/15/18

     131,259      
30,000   

QEP RESOURCES 6.875% 3/01/21

     32,175      
430,000   

RANGE RES CORP 6.75% 8/1/20

     465,475      
150,000   

RAYTHEON 3.125% 10/15/20

     149,984      
153,000   

REYNOLDS AMERN 6.75% 6/15/17

     175,070      
40,000   

REYNOLDS GRP 6.875% 2/15/21

     43,100      
246,000   

ROCHE HLDGS INC 6% 3/19 144A

     287,728      
279,000   

SBC COMM GLBL 5.1% 9/15/14

     287,890      
3,200,000   

SLM CORP 6.25% 1/25/16

     3,456,000      
14,000   

SLM CORP MTN 5% 4/15/15

     14,648      
84,000   

SLM CORP MTN 5.05% 11/14/14

     86,730      
376,000   

SLM CORP MTN 5.625% 8/01/33

     311,610      
600,000   

SLM CORP MTN 8% 3/25/20

     679,500      
63,000   

SOUTHRN NAT GAS 5.9% 4/1/17

     70,578      
21,000   

SOUTHRN NAT GAS 8% 3/01/32

     26,852      
300,000   

SOUTHWESTERN EN 4.1% 3/22 WI

     296,972      
111,000   

TENET HEALTH 9.25% 2/01/15

     119,603      
49,000   

TENN GAS PIPELI 7.625% 4/01/37

     62,220      

 

55


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Domestic Obligations (continued)

     
160,000   

THERMO FISHER 3.6% 8/15/21

   $ 158,352      
340,000   

UBS AG STAM 3.875% 1/15/15

     351,511      
350,000   

UBS AG STAMFORD 2.25% 1/28/14

     350,450      
370,000   

UNITEDHEALTH GRP 6% 2/15/18

     427,283      
400,000   

VERIZON COM 2.5% 09/15/16

     413,585      
500,000   

VERIZON COM 3.65% 09/14/18

     529,018      
600,000   

VERIZON COM 3ML+153 9/15/16

     618,137      
400,000   

VERIZON COM 4.5% 09/15/20

     427,740      
14,000   

VERIZON COM INC 5.5% 2/15/18

     15,810      
200,000   

VERIZON COMM 3ML+175 9/18

     210,300      
370,000   

VERIZON WIRELESS 8.5% 11/15/18

     468,246      
1,017,000   

WACHOVIA 5.25% 8/14 LT2

     1,044,649      
90,000   

WASTE MANAGMENT 7.375% 5/15/29

     109,260      
510,000   

WELLPOINT INC 7% 2/15/19

     604,806      
28,000   

WELLPOINT INC GLB 5.875% 6/15/17

     31,579      
105,000   

WILLIAMS COS 7.75% 6/15/31

     112,583      
99,000   

WILLIAMS COS 7.875% 9/01/21

     114,158      
13,000   

WILLIAMS COS 8.75% 3/15/32

     15,178      
294,000   

WILLIAMS COS GLB 7.5% 1/15/31

     310,039      
     

 

 

  

Total Domestic Obligations

   $ 81,805,341      
  

Mortgage Related Securities

     
17,897   

ACCR 2003-3 A1 4.46% 12/33

   $ 17,928      
544,321   

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

     174,183      
300,000   

ACRE 10-ARTA A2FX 4.9543% 1/29

     322,158      
220,000   

AESOP 2010-3A A 4.64% 5/16

     229,771      
130,000   

AESOP 2010-5A A 3.15% 3/17 144A

     135,129      
505,846   

AHM 05-4 1A1 1ML+29 3/35

     432,187      
361,270   

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

     362,234      
1,059,000   

BACM 2005-6 A4 5.182% 9/47

     1,127,255      
39,104   

BACM 2007-5 A3 5.62% 2/51

     39,251      
90,464   

BALLY 2006-1A A 3ML+22 8/19

     90,360      
380,672   

BALTA 2004-9 3A1 CSTR 9/34

     371,789      
366,421   

BALTA 2005-2 2A4 CSTR 4/35

     352,563      
114,517   

BAYV 04-C A1 1ML+42 5/44

     114,425      

 

56


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Mortgage Related Securities (continued)

     
838,751   

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

   $ 659,386      
11,257   

BLACK 2005-1A A1A 1ML+25 6/17

     11,257      
65,419   

BLUEM05-1A A1F 3ML+23.75 11/17

     65,437      
116,772   

BSABS 05-SD4 2A1 1ML+40 12/42

     114,606      
646,293   

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

     618,896      
344,116   

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

     325,978      
471,336   

BSARM 2004-10 12A3 CSTR 1/35

     467,221      
52,428   

CMLTI 2005-HE2 A 1ML+40 5/35

     52,056      
1,202,796   

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

     860,701      
511,552   

CWALT 2005-36 3A1 CSTR 8/35

     401,919      
154,133   

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

     132,165      
98,375   

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

     70,460      
121,548   

CWHL 2004-23 A CSTR 11/34

     96,793      
337,931   

CWHL 2006-HYB3 2A1A CSTR 6/36

     278,954      
140,605   

DELTA AIR 6.821% 8/22

     158,532      
142,593   

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

     128,188      
150,000   

EFCT 2004-1 A5 VAR 6/43

     133,344      
262,822   

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

     253,640      
61,863   

FHAMS 2006-FA8 1A8 0 2/37

     41,390      
90,000   

FIRST SEC UT 9.35% 1/10/23 144A

     103,552      
260,000   

GECMC 2007-C1 A4 5.54% 12/49

     281,598      
395,759   

GMACM 04VF1 A1 MBIA1ML+75 2/31

     372,848      
541,700   

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

     454,106      
4,704,877   

GSMS 2011-GC3 X IO 3/44 144A

     191,239      
200,709   

GSR 2005-AR5 2A3 CSTR 10/35

     177,151      
267,104   

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

     225,404      
799,126   

HVMLT 2004-5 2A6 CSTR 6/34

     786,754      
387,485   

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

     265,105      
146,442   

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

     110,396      
399,020   

INDA 2007-AR7 1A1 CSTR 11/37

     367,319      
1,028,919   

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

     888,257      
146,722   

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

     110,988      
1,100,000   

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

     1,080,772      
4,716,045   

JPMCC 2011-C4 XA CSTR 7/46

     259,793      
120,000   

JPMCC 2011-C5 A3 4.1712% 8/46

     125,857      

 

57


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Mortgage Related Securities (continued)

     
231,489   

JPMMT 2004-A3 3A3 CSTR 7/34

   $ 231,062      
114,000   

LBUBS 2007-C1 A4 5.424% 2/40

     125,626      
199,106   

LBUBS 2007-C6 A4 CSTR 7/40

     216,427      
316,141   

LEOP III-X A1 6EUR+25 04/20

     430,572      
624,050   

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

     453,138      
281,869   

MARM 2005-1 7A1 CSTR 2/35

     267,446      
268,537   

MARM 2006-2 3A1 CSTR 1/36

     254,028      
645,348   

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

     550,064      
1,288,260   

MCLO 05-2A A1B 3ML+27 12/19

     1,283,456      
218,838   

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

     209,516      
1,000,000   

MLCFC 2007-6 A4 CSTR 3/51

     1,099,870      
108,076   

MLMI 2004-A3 4A3 CSTR 5/34

     109,584      
107,908   

MLMI 2006-A1 1A1 CSTR 3/36

     79,253      
957,179   

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

     641,089      
655,000   

MLMT 2006-C1 A4 CSTR 5/39

     711,444      
87,113   

MSC 2006-IQ11 A4 CSTR 10/42

     93,408      
24,224   

MSM 2005-3AR 3A CSTR 7/35

     20,691      
500,000   

NSLC 2004-2A A5C 1.09% 2/39

     425,500      
145,607   

PRIME 2005-2 2A1 CSTR 10/32

     156,161      
321,859   

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

     217,730      
286,921   

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

     269,056      
976,969   

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

     931,174      
510,828   

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

     398,819      
29,865   

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

     26,896      
212,856   

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

     196,313      
300,000   

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

     297,054      
738,116   

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

     728,097      
65,797   

UAL PASS THRU ETC 9.75% 1/17

     75,666      
607,816   

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

     551,419      
500,570   

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

     451,684      
241,040   

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

     219,179      
917,222   

WAMU 06-AR14 1A3 CSTR 11/36

     771,009      
2,923,004   

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

     2,773,613      
252,501   

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

     234,371      
1,669,325   

WAMU 2005-AR18 1A3A CSTR 1/36

     1,599,172      

 

58


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value          
  

Other Fixed Income Securities (continued)

     
  

Mortgage Related Securities (continued)

     
523,410   

WAMU 2005-AR7 A4 CSTR 8/35

   $ 515,352      
92,468   

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

     86,033      
258,069   

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

     242,432      
461,803   

WAMU 2007-HY4 4A1 CSTR 9/36

     403,849      
733,657   

WFMBS 2006-AR11 A6 CSTR 8/36

     678,602      
240,000   

WFRBS 2011-C4 A4 0 6/44

     260,773      
     

 

 

  

Total Mortgage Related Securities

   $ 33,727,923      
  

Other Agency Obligations

     
30,000   

BIRMINGHAM AL 5.5% 04/01/41

   $ 31,689      
250,000   

CA ST 7.3% 10/01/39

     314,275      
40,000   

CHICAGO OHARE 5.625% 01/01/35

     42,060      
80,000   

CHICAGO OHARE TAXM 5.5% 1/31

     84,260      
50,000   

CLARK CO NV PFC 5.25% 7/1/39

     51,368      
80,000   

GA MEAG 6.655% 4/1/57

     83,592      
70,000   

LA CA AIRPT 5% 5/15/35

     72,500      
50,000   

LA CA AIRPT 5.25% 5/15/39

     52,567      
190,000   

LA CA DWAP TAXM 6.574% 7/01/45

     233,204      
100,000   

LIBERTY GOLDMAN 5.25% 10/01/35

     103,688      
50,000   

MARTA GA 5% 7/1/39

     50,718      
150,000   

MUNICIPAL EC AT GA 6.637% 4/57

     157,671      
20,000   

SANMATEO CA CCD 06B 5% 9/1/38

     20,843      
330,000   

SANTA CL TRANS TAXM 5.876 4/32

     360,743      
240,000   

TVA 5.25% 9/15/39

     253,847      
467,000   

TVA 5.98% 4/1/36

     544,318      
     

 

 

  

Total Other Agency Obligations

 

   $

 

2,457,343

 

  

 

  
     

 

 

  

Total Other Fixed Income Securities

   $ 155,260,188      
  

Cash, Cash Equivalents and Other Investments

     
  

Cash and Cash Equivalents

     
  

Cash

   $ 1,415,092      
  

Cash Collateral

     497,000      
3,579,241   

Fidelity Institutional Money Market Portfolio*

     3,579,241      
22,136,607   

State Street Bank Government Short Term Investment Fund*

     22,136,607      

 

59


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value         
  

Cash, Cash Equivalents and Other Investments (continued)

    
1,344,515    

State Street Bank Short Term Investment Fund*

   $ 1,344,515     
     

 

 

  

Total Cash and Cash Equivalents

   $ 28,972,455     
  

Swap Contracts

    
  

Credit Default Swaps

    
700,000    

BARC @CDSBOA 1% 6/20/18 SWP

   $ 10,207     
100,000    

BARCLAY CDS IT GOVT 6/20/17 SW

     (367  
600,000    

BOA CDS IT GOVT SP 6/20/17 SWP

     (2,199  
80,000    

HSBC 105756AL4/1% CDS 9/22

     (7,700  
     

 

 

  

Total Credit Default Swaps

   $ (59  
  

Interest Rate Swaps

    
5,600,000    

BAC-NA IRS BZDIOVR/8.86 1/2/17

   $ (142,719  
15,700,000    

BAR IRS @BZDIOVR/8.585 1/17 SP

     (493,007  
300,000    

BOA IRS @BZDIOVR/8.6% 1/17 SWP

     (9,364  
200,000    

HSBC IRS @BZDIOVR/8.64% 1/17 SP

     (6,126  
3,400,000    

JPMC IRS @BZDIOVR/8.21% 1/2/17

     (120,935  
8,200,000    

UBSAG IRS 4.75%/BBSW6M 6/22 SWP

     189,201     
     

 

 

  

Total Interest Rate Swaps

   $ (582,950  
     

 

 

  

Total Swap Contracts

   $ (583,009  
  

Option Contracts

    
  

Interest Rate Options

    
(4,500,000)   

IRO USD 10Y C 2.65 3/3/14 CBK

   $ (1,316  
(4,500,000)   

IRO USD 10Y P 3.1 03/03/14 DUB

     (66,851  
(7,800,000)   

IRO USD 5Y C 1.3 1/27/14 SWPN

     (2  
(15,600,000)   

IRO USD 5Y C 1.4 1/14 GLM SWPN

     (86  
(7,800,000)   

IRO USD 5Y P 1.8 1/14 MYC SWP

     (39,639  
(15,600,000)   

IRO USD 5Y P 2 1/27/14 SWPN

     (24,189  
     

 

 

  

Total Interest Rate Options

   $ (132,083  

 

60


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

       Shares or     

       Units     

   Description                Current Value         
  

Cash, Cash Equivalents and Other Investments (continued)

    
  

Currency Options

    
618    

EURO$ 90 DAY FUT C 99.75 12/14

   $ 30,900     
(618)   

EURO$ 90 DAY FUT PUT 99 12/14

     (61,800  
     

 

 

  

Total Currency Options

 

   $

 

(30,900

 

 

 
     

 

 

  

Total Option Contracts

   $ (162,983  
  

Futures Contracts ***

  

 
(8,353,260)   

BNP IRSJPY6MLS-1.0 9/18/23 CME

   $ -       
(15,889,747)   

CIT CDXITXEB517 5% 6/20/17 ICE

     (10,802  
4,406,627    

CIT IRSAUD 4.5 6/15/22 CME

     14,986     
19,094,517    

CITI IRS AUD 4.0 6/18/19 CME

     56,158     
173,420,075    

EURO$ 90 DAY FUT JUN 16 EDM6

     (35,300  
39,912,588    

EURO$ 90 DAY FUT SEP 16 EDU6

     (10,188  
(24,341,167)   

IRS EUR 6ME-2.923 8/8/23 CME

     (10,956  
1,230,469    

US 10YR NOTE FUT MAR14 TYH4

     (1,719  
4,891,813    

US 5YR NOTE FUT MAR14 FVH4

     (3,844  
(2,822,875)   

US LONG BOND FUT MAR14 USH4

     10,314     
(408,750)   

US ULTRA(CBT) FUT MAR14 WNH4

     2,438     
(1,154,625)   

USD IRS 30YR FUT MAR14 CBPH4

     11,250     
     

 

 

  

Total Futures Contracts

   $ 22,337     
  

Other Investments

  

 
6,800,000    

BANC D BRAS NY Y$CD 0% 3/27/14

   $ 6,790,430     
1,450    

CITIGROUP CAP XIII 7.875% PFD

     39,513     
27,680    

MAGNUM HUNTER RES CRP WT 4/16

     2,909     
22,400,000    

US TREASURY RP 0.02% 01/02/14

     22,400,000     
     

 

 

  

Total Other Investments

 

   $

 

29,232,852

 

  

 

 
     

 

 

  

Total Cash, Cash Equivalents and Other Investments

 

   $

 

57,481,652

 

  

 

 
     

 

 

   Total Investments Excluding Notes Receivable From Participants    $ 5,034,464,910     
   Notes Receivable from Participants (interest rates from 4.25% to 10.50% maturing through January 2029)*      69,521,110     
     

 

 

  

Total Investments

   $ 5,103,986,020     
     

 

 

 

61


Table of Contents

Time Warner Savings Plan

EIN: #13-4099534 Plan:    #336

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

(Held at End of Year)  (continued)

December 31, 2013

 

    * Indicates party-in-interest to the Plan.
  ** Represents an adjustment to the value of Synthetic Investment Contracts, which is related to the purchase and sale of certain assets pending settlement at December 31, 2013.
*** Negative “shares or units” represents the notional values of futures contracts with short positions.

 

62


Table of Contents

SIGNATURES

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

 

 

    TIME WARNER SAVINGS PLAN
Date:    June 23, 2014     By:  

/s/ Daniel J. Happer

      Name: Daniel J. Happer
      Member of the Administrative Committee


Table of Contents

EXHIBIT INDEX

 

 

Exhibit
Number

  

Description

23.1

  

Consent of Ernst & Young LLP,

Independent Registered Public Accounting Firm