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Published: 2021-06-14 13:57:14 ET
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11-K 1 dow202011k.htm 11-K Document

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 11-K

(Mark One)
þ    ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2020    

OR

¨    TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from to     

Commission file number: 001-38646

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

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN

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

Dow Inc.
2211 H.H. Dow Way
Midland, MI 48674


REQUIRED INFORMATION

Financial statements as of December 31, 2020 and 2019, and year ended December 31, 2020, supplemental schedule for the year ended December 31, 2020, and Report of Independent Registered Public Accounting Firm.












The Dow Chemical
Company Employees'
Savings Plan
Financial Statements as of December 31, 2020 and 2019,
and for Year Ended December 31, 2020 and Supplemental
Schedule for the Year Ended December 31, 2020



                                            
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
TABLE OF CONTENTS



Report of Independent Registered Public Accounting Firm

To Plan Participants and 401(k) Investment Committee of
The Dow Chemical Company Employees’ Savings Plan
Midland, Michigan

Opinion on the Financial Statements

We have audited the accompanying statements of net assets available for benefits of The Dow Chemical Company Employees’ Savings Plan (the “Plan”) as of December 31, 2020 and 2019, the related statement of changes in net assets available for benefits for the year ended December 31, 2020, and the related notes (collectively, the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2020 and 2019, and the changes in net assets available for benefits for the year ended December 31, 2020, in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

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

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

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

Supplemental Information

The supplemental information in the accompanying Schedule of Assets Held at the End of Year as of December 31, 2020 has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental information is presented for the purpose of additional analysis and is not a required part of the financial statements but included supplemental information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental information is the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental information. In forming our opinion on the supplemental information, we evaluated whether the supplemental information, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the supplemental information is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ BDO USA, LLP

BDO USA, LLP
Grand Rapids, Michigan
June 14, 2021

We have served as the Plan’s auditor since 2019.

1

                                            
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
AS OF DECEMBER 31, 2020 and 2019
20202019
Allocated Participant Directed Unallocated Non-participant Directed Total Allocated Participant Directed Unallocated Non-participant Directed Total
Assets
Investments - at fair value (Notes 3 and 4)
$9,191,738,777 $95,712,891 $9,287,451,668 $8,721,635,423 $191,290,286 $8,912,925,709 
Fully benefit-responsive investment contracts - at contract value
2,029,622,679 — 2,029,622,679 1,880,324,853 — 1,880,324,853 
Receivables - interest, dividends and other
8,248,882 576,719 8,825,601 4,598,211 5,798 4,604,009 
Receivables - participant notes
98,356,901 — 98,356,901 103,900,465 — 103,900,465 
Total Assets$11,327,967,239 $96,289,610 $11,424,256,849 $10,710,458,952 $191,296,084 $10,901,755,036 
Liabilities
LESOP loan payable (Note 5)
$— $8,963,940 $8,963,940 $— $18,052,019 $18,052,019 
Other payables5,509,244 433,020 5,942,264 5,155,054 869,654 6,024,708 
Total Liabilities$5,509,244 $9,396,960 $14,906,204 $5,155,054 $18,921,673 $24,076,727 
Net Assets Available For Benefits
$11,322,457,995 $86,892,650 $11,409,350,645 $10,705,303,898 $172,374,411 $10,877,678,309 
See Notes to Financial Statements.

2


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
FOR THE YEAR ENDED DECEMBER 31, 2020
Allocated Participant DirectedUnallocated Non- Participant DirectedTotal
Additions
Investment income
Net realized/unrealized gain (loss) on investments$1,261,352,845 $(19,186,951)$1,242,165,894 
Interest and dividends113,684,547 6,888,583 120,573,130 
Total investment gain (loss)$1,375,037,392 $(12,298,368)$1,362,739,024 
Employer contributions$13,948 $2,564,927 $2,578,875 
Employee contributions224,801,492 — 224,801,492 
Interest on participant notes receivable4,891,077 — 4,891,077 
Allocation of 1,754,921 shares of common stock of Dow Inc., at market75,097,569 — 75,097,569 
Total additions$1,679,841,478 $(9,733,441)$1,670,108,037 
Deductions
Distributions and withdrawals$1,057,582,372 $— $1,057,582,372 
Administrative expenses1,619,677 — 1,619,677 
Interest expense— 650,751 650,751 
Allocation of 1,754,921 shares of common stock of Dow Inc., at market— 75,097,569 75,097,569 
Total deductions$1,059,202,049 $75,748,320 $1,134,950,369 
Net increase (decrease)$620,639,429 $(85,481,761)$535,157,668 
Transfers out(3,485,332)— (3,485,332)
Net Assets Available for Benefits
Beginning of year10,705,303,898 172,374,411 10,877,678,309 
End of year$11,322,457,995 $86,892,650 $11,409,350,645 
See Notes to Financial Statements.
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THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
NOTES TO FINANCIAL STATEMENTS

1.DESCRIPTION OF THE PLAN
The following description of The Dow Chemical Company Employees' Savings Plan (the “Plan”) provides only general information. Participants should refer to the Plan document or the Summary Plan Description provided to all participants for a more complete description of the Plan's provisions.

General - The Plan is a defined contribution plan consisting of (1) a profit sharing plan with a cash or deferred feature, which is intended to qualify under Sections 401(a) and 401(k) of the Internal Revenue Code as of 1986, as amended (“Code”), and (2) a leveraged employee stock ownership plan (“LESOP”), which is intended to qualify as a stock bonus plan under Sections 401(a) and 4975(e)(7). The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 ("ERISA"), as amended. The Plan covers any person who is, or becomes, an eligible employee of The Dow Chemical Company (the "Company" or “TDCC”), or of certain of TDCC's subsidiaries, including former employees with balances in the Plan.

Employee Contributions - Plan participants generally may elect to contribute from 0.5% to 40% of their compensation, depending on the participant's eligible pay, limited to a 0.5% minimum contribution. The maximum yearly gross compensation pre-tax or Roth 401(k) contribution made through payroll deductions was $19,500 in 2020. Participants who attained age 50 before the end of the plan year were eligible to make additional catch-up contributions in the amount of $6,500 in 2020. Plan participants may elect to increase, decrease, suspend, or resume compensation deferrals at any time. New elections are effective as soon as practicable after the request is processed. Newly hired eligible employees not electing to enroll, within a reasonable period of time, are automatically enrolled to contribute 6% of their eligible pay to the Plan, unless the employee elects to opt out. The automatic contributions will increase by 1% each year effective April 1, until the contribution rate reaches 10%, unless the employee designates otherwise. The contributions default to the applicable BTC Lifepath Fund based on the employee's date of birth, unless otherwise designated by the employee.

Company Contributions - In general, the Company's matching contribution provides a 100% match on the first 2% of eligible pay deferrals and a 50% match of the next 4% of eligible pay deferrals. Legacy Rohm and Haas Company employees' Company matching contributions are calculated as 100% of the first 3% of eligible pay deferrals and a 50% match of the next 3% of eligible pay deferrals. For legacy Dow Silicones Corporation (formally known as Dow Corning Corporation) employees hired prior to January 1, 2006, the Company's matching contribution provides a 100% match on the first 3% of eligible pay deferrals and 50% on the next 2% of eligible pay deferrals; and for those hired on and after January 1, 2006 and prior to September 1, 2016, the Company's matching contribution provides a 100% match on the first 3% of eligible pay deferrals and 50% on the next 4% of eligible pay deferrals. The Company's matching contribution is made in the form of Company stock from the LESOP. Employees may divest their Dow stock at any time and elect one of the other investment options available to them under the Plan.

In accordance with the provisions of the Plan, the Plan is required to release shares in proportion to the principal and interest paid on the LESOP loan as a percentage of beginning of year outstanding principal and interest. The shares released from unallocated LESOP shares are allocated to participants to satisfy the Company's matching requirements. In 2020, there was no “Excess Employee Stock Ownership Program ("ESOP") Shares Distribution” contribution. No such contingent matching contributions were made to participants for the year ended December 31, 2020.

If the required Company matching contributions under the provisions of the Plan are greater than the value of the shares released, the Company is required to make an additional contribution to cover the shortfall. For the year ended December 31, 2020, the Company allocated shares of 51,240 and contributed cash of $576,690 to the Plan participants in March 2021, which was due to them under the Plan's true up provision.

Dividends - Participants invested in Dow Inc. stock funds may elect to receive dividends as a distribution rather than reinvesting dividends within the participant account.

Account Valuation - Participant account balances reflect the total contributions made to the Plan by employees and the Company, plus investment results, less expenses and withdrawals.

Vesting - Participants are immediately vested in all amounts credited to their Plan account, including employee contributions, Company contributions, and investment earnings.

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Benefits Distribution - Benefits are generally distributable upon termination of employment as a lump-sum payment or partial withdrawal or may be deferred until minimum distributions are required by law. The Plan makes a lump-sum payment to terminated participants who have a balance that does not exceed $1,000. Active employees may request in-service distributions upon the attainment of age 59-1/2. Active employees under the age of 59-1/2 may request a distribution in the event of a financial hardship as defined by the Plan.

Participant Notes Receivable - Active participants, retirees and terminated participants may borrow from their employee contributions, plus earnings on those contributions, with a minimum note receivable of $1,000. Participant notes receivable are limited to the smaller of:

50% of the total account balance or
$50,000 less the highest outstanding participant note receivable balance in the preceding 12 months

Note receivable repayments for active employees are made through payroll deductions, on an after tax basis, with a minimum term of six months and a maximum of 60 months for any purpose other than the purchase of a primary residence; and a minimum term of six months and a maximum of 120 months for participant note receivable for the purpose of purchasing a primary residence. Repayments, both interest and principal, are credited to the participant's account and are allocated among the fund options according to the participant's current investment election. A fixed interest rate is applied to the note receivable. This rate is generally equal to the prime rate on the last day of each calendar quarter before the loan is processed. The range of interest rates on notes receivable outstanding at December 31, 2020 and 2019 was 3.25% to 10.5%.
Investments - Participants direct the investment of their contributions into various investment options offered by the Plan.

Related Party and Party-In-Interest Transactions - Administrative expenses of the trustee are charged to the Plan. The assets of the Plan are held by Fidelity Management Trust Company (“Fidelity”), who acts as independent trustee, custodian and recordkeeper for the investments in the Plan, except the assets held by Synthetic Guaranteed Investment Contracts, which are custodied at Bank of New York Mellon. Fidelity manages certain plan investments. All transactions with Fidelity qualify as party-in-interest transactions.

Plan investments include shares of common stock of TDCC's parent company, Dow Inc., and the Plan holds notes receivable from Plan participants.

The Plan has a loan outstanding with Dorintal Reinsurance, Ltd., a related party. See Note 5 for additional information.

Amendment or Termination - The Plan does not have an expiration date. The Company may at any time terminate, amend, or modify the Plan, subject to certain rights of the Plan participants. Upon termination of the Plan, each participant is entitled to receive the entire balance in his or her account in accordance with the terms of the Plan.


2.SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

Basis of Accounting - The financial statements of the Plan have been prepared on the accrual basis of accounting in accordance with accounting principles generally accepted in the United States of America.

Use of Estimates - The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of net assets available for benefits and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of changes in net assets available for benefits during the reporting period. Actual results could differ from those estimates.

Investment Valuation and Income Recognition - Investments in the Plan consisting of common stock of Dow Inc., mutual funds, certain money market funds and common stock are stated at fair value based upon the quoted market value of such securities at year end. The investments in common/collective trusts are valued at net asset value per share (or its equivalent) of the fund, based on the fair values of the underlying net assets. There are no redemption restrictions or unfunded commitments on these investments. Temporary investments are investments in short term money market funds in the respective investment funds. Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Net appreciation (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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Investments of the Interest Income Fund (“Fund”) included in the Plan consist of Synthetic Guaranteed Investment Contracts (“Synthetic GICs”), bonds, a money market fund, and a common collective trust fund. All of the Plan's Synthetic GICs are fully benefit-responsive and are recorded at contract value. Contract value is the amount participants would normally receive if they were to initiate permitted transactions under the terms of the Plan. Contract value represents deposits made to the contract plus earnings at guaranteed crediting rates less withdrawals and applicable fees. Synthetic GICs operate similarly to an insurance company separate account investment contract, except that the assets are placed in a separate custodial account (owned by the Plan) rather than such assets being held in a separate account of the insurance company. A Synthetic GIC is a wrap contract paired with an underlying investment or investments, usually a portfolio, owned by the Plan, of high-quality, intermediate term fixed income securities or common/collective trusts holding similar investments. The Plan purchases a wrapper contract from financial services institutions.

In addition to holding certain assets, Synthetic GICs include features designed to provide participant liquidity at book value as well as periodic interest crediting rates. The liquidity feature is also known as “benefit responsiveness.” Synthetic GICs may be issued by banks, insurance companies and other financial institutions.

The Synthetic GICs provide for prospective crediting interest rate adjustments based on the interest earnings and fair value of the underlying assets. The crediting interest rates are reset monthly and the contracts guarantee that the crediting interest rates cannot be less than zero.

Certain events may limit the ability of the Plan to transact at contract value with the insurance company and the financial institution issuer. Such events include the following: (i) amendments to the plan documents (including complete or partial plan termination or merger with another plan); (ii) changes to the Plan's prohibition on competing investment options or deletion of equity wash provisions; (iii) bankruptcy of the plan sponsor or other plan sponsor events (e.g., divestitures or spin offs of a subsidiary) which cause a significant withdrawal from the Plan; or (iv) the failure of the Plan to qualify for exemption from federal income taxes or any required exemption of prohibited transactions under ERISA. The plan administrator does not believe that the occurrence of any such event that may limit the Plan's ability to transact at contract value is probable.

Synthetic GICs generally impose conditions on both the Plan and the issuer. If an event of default occurs and is not resolved, the non-defaulting party may terminate the contract. The following may cause the Plan to be in default: a breach of material obligation under the contract; a material misrepresentation; or a material amendment to the plan agreement. The issuer may be in default if it breaches a material obligation under the investment contract; makes a material misrepresentation; or is acquired or reorganized and the successor issuer does not satisfy the investment or credit guidelines applicable to issuers. If, in the event of default of an issuer, the Plan were unable to obtain a replacement investment contract, losses may occur if the market value of the Plan's assets, which were covered by the contract, is below the contract value. The Plan may seek to add additional issuers over time to diversify the Plan's exposure to such risk, but there is no assurance the Plan may be able to do so. The combination of the default of an issuer and an inability to obtain a replacement agreement could render the Plan unable to achieve its objective of maintaining a stable contract value. The terms of an investment contract generally provide for settlement of payments only upon termination of the contract or total liquidation of the covered investments. Generally, payments will be made pro rata, based on the percentage of investments covered by each issuer. Contract termination occurs whenever the contract value or market value of the covered investments reaches zero or upon certain events of default.

If the contract terminates due to issuer default (other than a default occurring because of a decline in its rating), the issuer will generally be required to pay to the Plan the excess, if any, of contract value over market value on the date of termination. If a contract terminates due to a decline in the ratings of the issuer, the issuer may be required to pay to the Plan the cost of acquiring a replacement contract (i.e., replacement cost) within the meaning of the contract. If the contract terminates when the market value equals zero, the issuer will pay the excess of contract value over market value to the Plan to the extent necessary for the Plan to satisfy outstanding contract value withdrawal requests. Contract termination also may occur by either party upon election and notice.

Changes in fixed income market conditions and interest rates may affect the yield to maturity and the market value of the underlying investments. Such changes could have a material impact on the Synthetic GIC's future interest crediting rates. In addition, participant withdrawals from and transfers out of the Interest Income Fund made according to Plan provisions are paid at contract value but funded through the market value liquidation of the underlying investments. This process of funding participant withdrawals and transfers from market value liquidations of underlying investments may also have an effect on future interest crediting rates.

Participant Notes Receivable - Participant notes receivable are recorded at their unpaid principal balances plus any accrued interest. Participant notes receivable are written off when deemed uncollectible. No allowance for credit losses has been recorded as of December 31, 2020 and 2019.
6


Benefits Payable - Amounts payable to persons who have withdrawn from participation are not recorded as a liability of the Plan. Benefits payable to participants who had withdrawn from participation in the Plan as of December 31, 2020 and 2019 were insignificant.

Federal Income Tax Status - The Internal Revenue Service has determined and informed the Company by a letter dated September 2, 2014, that the Plan is qualified and the trust established under the Plan is tax exempt under the appropriate sections of the Internal Revenue Code (the “Code”). Although the Plan has been amended since receiving the determination letter, the plan administrator believes the Plan is designed and is currently being operated in compliance with the applicable requirements of the Code.

In accordance with guidance on accounting for uncertainty in income taxes, management evaluated the Plan's tax position and does not believe the Plan has any uncertain tax positions that require disclosure or adjustment to the financial statements. The Plan is subject to routine audits by taxing authorities; however, there are currently no audits for any tax periods in progress.

Risks and Uncertainties - The Plan invests in various investment instruments, including shares of the common stock of Dow Inc. Investment securities, in general, are exposed to various risks, such as interest rate, credit and overall market volatility. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect the amounts reported in the financial statements.

The pandemic caused by coronavirus disease 2019 (“COVID-19”) has impacted and may continue to impact investment results. The ultimate severity and duration of the COVID-19 pandemic and the resulting impact on the Plan cannot be reasonably estimated.


3.    LEVERAGED EMPLOYEE STOCK OWNERSHIP PLAN INVESTMENTS

The Plan's investment in The Dow Chemical Company LESOP, at December 31, 2020 and 2019, is presented in the following table:

20202019
AllocatedUnallocatedAllocatedUnallocated
Number of Shares 4,402,962 1,721,653 4,586,156 3,476,574 
Cost$19,195,037 $48,578,984 $20,448,646 $91,256,210 
Fair Value$244,364,391 $95,551,742 $251,000,318 $190,272,895 


4.    FAIR VALUE

Accounting standards require certain assets and liabilities be reported at fair value in the financial statements and provide a framework for establishing that fair value. The framework for determining fair value is based on a hierarchy that prioritizes the inputs and valuation techniques used to measure fair value.

For investments classified as Level 1 measurements (measured using quoted prices in active markets), the total fair value is either the price of the most recent trade at the time of the market close or the official close price as defined by the exchange in which the asset is most actively traded on the last trading day of the period, multiplied by the number of units held without consideration of transaction costs.

For investments classified as Level 2 measurements, where the security is frequently traded in less active markets, fair value is based on the closing price at the end of the period; where the security is less frequently traded, fair value is based on the price a dealer would pay for the security or similar securities, adjusted for any terms specific to that security. Market inputs are obtained from well-established and recognized vendors of market data and subjected to tolerance/quality checks.

For investments classified as Level 3 measurements, the total fair value is based on significant unobservable inputs including assumptions where there is little, if any, market activity for the investment. The investment's fair value level within the fair value hierarchy is based on the lowest level of any input that is significant to the fair value measurement.


7


The following table presents information about certain assets of the Plan measured at fair value on a recurring basis:

Assets Measured at Fair Value on a Recurring BasisDecember 31, 2020December 31, 2019
TotalLevel 1TotalLevel 1
Dow Inc. Common Stock:
Allocated participant directed$582,601,371 $582,601,371 $562,685,150 $562,685,150 
Unallocated non-participant directed95,551,742 95,551,742 190,272,895 190,272,895 
Common stock 733,214,184 733,214,184 794,975,916 794,975,916 
Mutual funds1,686,751,549 1,686,751,549 1,628,888,655 1,628,888,655 
Temporary investments - Money market funds:
Allocated participant directed64,485,031 64,485,031 84,975,342 84,975,342 
Unallocated non-participant directed161,149 161,149 1,017,391 1,017,391 
Total categorized assets at fair value$3,162,765,026 $3,162,765,026 $3,262,815,349 $3,262,815,349 
Fair value measured at net asset value per share: 1
Common/collective trusts6,124,686,642 5,650,110,360 
Total assets at fair value$9,287,451,668 $8,912,925,709 
1.Investments in common/collective trusts are measured at fair value using the net asset value per share (or its equivalent) as a practical expedient and have not been categorized in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the statements of net assets available for benefits.

The Plan's policy is to recognize transfers between levels of the fair value hierarchy as of the actual date of the event of change in circumstances that caused the transfer. There were no significant transfers between levels of the fair value hierarchy during 2020.


5.    LEVERAGED EMPLOYEE STOCK OWNERSHIP PLAN AND LOAN PAYABLE

The Plan consists of a profit sharing plan with a cash or deferred feature which is intended to qualify under Sections 401(a) and 401(k) of the Code and an ESOP that is intended to qualify (as a stock bonus plan) under Sections 401(a) and 4975(e)(7) of the Code. The ESOP consists of (i) a leveraged employee stock ownership plan ("LESOP"), and (ii) the Dow Inc. stock funds. The LESOP includes (i) the assets of the Suspense Account and (ii) a LESOP Stock Fund which (A) shall consist of shares of Dow Inc. common stock acquired with the proceeds of exempt loans, and allocated to participant accounts, and (B) shall provide for such subaccounts as described in the definition of “LESOP Account” in Section 1.3 in the Plan and as further necessary. The portion of the Plan invested in the Dow Inc. stock funds constitutes part of the employee stock ownership plan under Section 4975(e)(7) of the Code. The Trustee or its nominee votes all unallocated shares under the LESOP.

The Plan has a loan outstanding with Dorintal Reinsurance, Ltd., a related party, which bears interest at 4% and matures in 2024. Additional principal payments were made in 2019 and 2020 and, therefore, the loan is now expected to be paid in full in 2022. The Plan uses dividends paid on unallocated shares of Dow Inc. common stock to make the scheduled quarterly principal and interest payments. If needed, the Plan may use dividends paid on allocated shares of Dow Inc. common stock. The Company is required to make a cash contribution to fund any quarterly shortages in common stock dividends paid as compared to required principal and interest payments. In 2020, Dow contributed cash to the plan to cover the shortfall on the loan repayment. Dow Inc. declared common stock dividends of $2.80 per share during 2020.

Interest expense for the year ended December 31, 2020 was $650,751. The minimum principal payments on the loan to maturity are as follows:

Minimum Loan Principal Payment to MaturityAt December 31, 2020
2021$5,164,164 
20223,799,776 
Total$8,963,940 


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6.    RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500

The following is a reconciliation of net assets available for benefits per the financial statements to Form 5500 as of December 31, 2020 and 2019:

Reconciliation of Net Assets Available for Benefits per the Financial Statements to Form 5500 at December 31,20202019
Net assets available for benefits per the financial statements$11,409,350,645 $10,877,678,309 
Adjustment from contract value to fair value for fully benefit-responsive Synthetic GICs92,988,189 36,300,993 
Net assets available for benefits per Form 5500$11,502,338,834 $10,913,979,302 

The following is a reconciliation of net increase in net assets available for benefits per the financial statements to Form 5500 for the year ended December 31, 2020:

Reconciliation of Net Increase in Net Assets Available for Benefits per the Financial Statements to Form 5500 for 2020
Net increase in net assets available for benefits per the financial statements$535,157,668 
Adjustment from contract value to fair value for fully benefit-responsive Synthetic GICs56,687,196 
Net income per Form 5500$591,844,864 


7.SUBSEQUENT EVENTS
On March 4, 2021, the Company announced changes to its U.S. retirement programs, including changes in Company contributions to the Plan. Effective January 1, 2022, the Company will harmonize matching contributions to the Plan across the Company's U.S. eligible employee population. The new matching contribution will allow all eligible U.S. employees to receive matching contributions of up to 5 percent of their eligible compensation. In addition, beginning on January 1, 2024, all eligible U.S. employees will receive an automatic non-elective contribution to the Plan of 4 percent of their eligible compensation.

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SUPPLEMENTAL SCHEDULE






































10


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY
EMPLOYER IDENTIFICATION NO. 38-1285128
PLAN NO. 002
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
INCLUDING APPENDICES A - E
AS OF DECEMBER 31, 2020
(c)
Description of Investment
(b)Including Maturity Date,(d)(e)
Identity of Issuer, Borrower,Rate of Interest, Collateral,Cost or ContractCurrent
(a)Lessor, or Similar PartyPar, or Maturity ValueValueValue
*Dow Inc.
Dow Inc. Stock Dow Stock **$338,236,980 
LESOP Allocated LESOP - Dow Stock **244,364,391 
LESOP Unallocated LESOP - Dow Stock $48,578,984 95,551,742 
DuPont Stock Common Stock **454,487,831 
Corteva Inc. Stock Common Stock **248,346,247 
Lilly Pre 91 Stock Common Stock **1,161,282 
Lilly Post 90 Stock Common Stock **4,469,701 
Linde Stock Fund Common Stock **24,749,123 
T. Rowe Price US Treasury Fund Common/Collective Trust **144,663,036 
PIM Total Return Inst Mutual Fund **197,060,514 
TRP IS MID CP EQ GR Mutual Fund **553,571,355 
NB Genesis R6 Mutual Fund **261,012,126 
TRP High Yield Inst Mutual Fund **116,682,170 
BTC LP IDX RETIRE N Common/Collective Trust **322,259,670 
BTC LP IDX 2025 N Common/Collective Trust **355,844,289 
BTC LP IDX 2030 N Common/Collective Trust **323,829,884 
BTC LP IDX 2035 N Common/Collective Trust **238,449,109 
BTC LP IDX 2040 N Common/Collective Trust **200,114,472 
BTC LP IDX 2045 N Common/Collective Trust **182,430,510 
BTC LP IDX 2050 N Common/Collective Trust **155,519,473 
BTC LP IDX 2055 N Common/Collective Trust **144,425,669 
BTC LP IDX 2060 N Common/Collective Trust **21,117,163 
ACWI ex-US IMI Index Common/Collective Trust **185,234,600 
MFS Heritage MFS US REIT Fund Common/Collective Trust **57,903,374 
MKS Convertible Common/Collective Trust **35,777,495 
Vang Inst 500 IDX TR Common/Collective Trust **1,725,841,110 
Vang Inst Ext Mkt Common/Collective Trust **454,546,867 
Vang Inst Tot Bd IDX Common/Collective Trust **215,745,979 
Vang Global Equity Mutual Fund **237,978,207 
Vang Dev Mkt IDX IP Mutual Fund **144,317,044 
Vang LT Treasury ADM Mutual Fund **98,716,512 
PIM Com Real Ret I Mutual Fund **10,881,207 
PIM Real Return Inst Mutual Fund **66,532,414 
Small Cap: 
  BTC Russel 2000 Index Fund Common/Collective Trust**312,057,526 
Emerging Markets IDX:
  Emerging Markets Non-LendCommon/Collective Trust**110,319,278 
      Forward$8,284,198,350 
*Represents a party-in-interest to the Plan
**Cost information not required
11


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY
EMPLOYER IDENTIFICATION NO. 38-1285128
PLAN NO. 002
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
INCLUDING APPENDICES A - E
AS OF DECEMBER 31, 2020
(c)
Description of Investment
(b)Including Maturity Date,(d)(e)
Identity of Issuer, Borrower,Rate of Interest, Collateral,Cost or ContractCurrent
(a)Lessor, or Similar PartyPar, or Maturity ValueValueValue
Forward$8,284,198,350 
*Fidelity Contrafund Pool CL 2 Common/Collective Trust **938,607,138 
*Interest Bearing CashTemporary Investments**11,610,590 
*Fidelity Short Term Investment FundTemporary Investments**53,035,590 
*Participant Notes ReceivableInterest recorded at prime rate (3.25% - 10.5%) and maturities up to 60 months**98,356,901 
Total$9,385,808,569 
*Represents a party-in-interest to the Plan(continued)
**Cost information not required
12


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY
EMPLOYER IDENTIFICATION NO. 38-1285128
PLAN NO. 002
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
INCLUDING APPENDICES A - E
AS OF DECEMBER 31, 2020
(c)
Description of Investment
(b)Including Maturity Date,(d)(e)
Identity of Issuer, Borrower,Rate of Interest, Collateral,Cost or ContractCurrent
(a)Lessor, or Similar PartyPar, or Maturity ValueValueValue
Pacific Life:
G- 27523.01.0001 (see underlying assets at Appendix A)
IGT Invesco ShrtTrm Bond; PIMCO; Synthetic GIC
 ** $292,899,908 
Voya Retirement & Annuity:
60031-A (see underlying assets at Appendix A)
    IGT Invesco ShrtTrm Bond; PIMCO; Synthetic GIC
 ** 400,884,155 
    60090 (see underlying assets at Appendix B)
Various Securities, maturity dates, and asset types; Synthetic GIC
 ** 1,286,086 
Transamerica:
MDA01078TR (see underlying assets at Appendix C)IGT Invesco ShrtTrm Bond; Dow NISA; Synthetic GIC ** 347,447,804 
RGA:
RGA 00036 (see underlying assets at Appendix E)IGT Invesco ShrtTrm Bond; Wellington; Synthetic GIC**$283,054,128 
Prudential Insurance:
GA-62233 (see underlying assets at Appendix D)Jennison; Synthetic GIC ** $347,565,148 
    GA-63084
IGT Invesco ShrtTrm Bond; Synthetic GIC
 ** $35,560,317 
Met Tower Life:
    38025 (see underlying assets at Appendix E)IGT Invesco ShrtTrm Bond; Wellington; MacKay Shields; Synthetic GIC**$320,925,133 
Total guaranteed investment contracts$2,029,622,679 
Total$11,415,431,248 
*Represents a party-in-interest to the Plan
**Cost information not required
13



THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY                    
EMPLOYER IDENTIFICATION NO. 38-1285128                    
PLAN NO. 002                
APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 AND VOYA RETIREMENT & ANNUITY 60031-A                
December 31, 2020
(c)
(b)Face Value (e)
Identity of Issue, Borrower,or Number (d) Current
(a)Lessor or Similar Partyof Shares Cost Value
ADVENTIST HEALTH SYSTEM/WEST2.433% 09/01/2024 DD 10/31/19700,000 $700,000 $725,705 
ALEXANDRIA REAL ESTATE EQU1.875% 02/01/2033 DD 08/05/20700,000 698,684 698,880 
AMERICAN TOWER CORP3.000% 06/15/2023 DD 12/08/17900,000 925,875 953,577 
AMERICAN TOWER CORP2.750% 01/15/2027 DD 10/03/19700,000 698,866 759,444 
ANDREW W MELLON FOUNDATION/THE0.947% 08/01/2027 DD 07/29/20700,000 700,000 699,524 
AT&T INC4.300% 02/15/2030 DD 08/15/181,549,000 1,557,163 1,850,342 
AVIATION CAPITAL GROUP LL 144A2.875% 01/20/2022 DD 01/20/17400,000 404,832 405,028 
BANK 2017-BNK7 BNK7 ASB3.265% 09/15/2060 DD 09/01/171,000,000 1,029,960 1,092,200 
BANK OF AMERICA CORPVAR RT 07/21/2028 DD 07/21/172,800,000 2,982,196 3,180,856 
BANK OF AMERICA CORPVAR RT 12/20/2028 DD 12/20/17800,000 805,326 903,632 
BANK OF AMERICA CORPVAR RT 02/13/2026 DD 02/13/20100,000 100,150 104,804 
BANNER HEALTH1.897% 01/01/2031 DD 10/29/20400,000 400,000 407,556 
BARCLAYS PLCVAR RT 06/24/2031 DD 06/24/202,100,000 2,164,785 2,186,814 
BAT CAPITAL CORP2.259% 03/25/2028 DD 09/25/20500,000 500,000 519,025 
BAY AREA CA TOLL AUTH TOLL BRI2.574% 04/01/2031 DD 09/26/19800,000 870,496 862,736 
BAYER US FINANCE II LLC 144AVAR RT 06/25/2021 DD 06/25/18700,000 700,000 701,421 
BEAR STEARNS ALT-A TRUS 11 2A2VAR RT 11/25/2034 DD 09/01/0444,583 43,942 45,003 
BMW US CAPITAL LLC 144AVAR RT 04/12/2021 DD 04/12/181,000,000 1,000,000 1,000,680 
BNP PARIBAS SA 144AVAR RT 01/10/2025 DD 01/10/19700,000 755,552 778,001 
BPCE SA4.000% 04/15/2024 DD 04/15/141,300,000 1,327,690 1,439,386 
CALIFORNIA ST UNIV REVENUE1.690% 11/01/2029 DD 09/17/20600,000 600,000 601,638 
CGMS COMMERCIAL MORT B1 AAB3.243% 08/15/2050 DD 08/01/172,300,000 2,360,131 2,515,924 
CHARTER COMMUNICATIONS OPER4.464% 07/23/2022 DD 07/23/16500,000 537,530 527,120 
CHESAPEAKE FUNDING 1A A1 144A2.940% 04/15/2031 DD 03/26/19656,834 656,736 667,389 
CITIGROUP COMMERCIAL GC11 AAB2.690% 04/10/2046 DD 04/01/13175,203 174,772 178,837 
CITIGROUP COMMERCIAL GC29 AAB2.984% 04/10/2048 DD 04/01/15599,243 612,281 624,309 
CITIGROUP COMMERCIAL MO B2 AAB3.962% 03/10/2051 DD 03/01/18700,000 720,960 798,049 
CITIGROUP COMMERCIAL MO P8 AAB3.268% 09/15/2050 DD 09/01/171,100,000 1,132,985 1,204,720 
CITIGROUP INC3.400% 05/01/2026 DD 05/02/162,850,000 2,879,145 3,207,903 
CITIGROUP INCVAR RT 11/05/2030 DD 11/05/19750,000 817,110 825,983 
COBB-MARIETTA COLISEUM & EXHIB2.700% 01/01/2022 DD 09/09/15650,000 650,000 664,469 
COMM 2013-CCRE11 MORT CR11 ASB3.660% 08/10/2050 DD 10/01/13367,623 384,052 382,648 
COMM 2013-CCRE9 MORT CR9 A4VAR RT 07/10/2045 DD 07/01/13600,000 633,609 648,090 
COMM 2014-CCRE19 MORT CR19 ASB3.499% 08/10/2047 DD 08/01/14596,489 614,369 627,835 
COMM 2015-DC1 MORT DC1 ASB3.142% 02/10/2048 DD 03/01/15311,623 320,968 323,839 
COMM 2016-COR1 MORT COR1 ASB2.972% 10/10/2049 DD 10/01/16500,000 505,645 535,820 
COMM 2016-CR28 MORT CR28 A43.762% 02/10/2049 DD 02/01/161,000,000 1,091,367 1,132,520 
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2036 DD 03/01/212,000,000 2,084,688 2,086,540 
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2051 DD 03/01/213,700,000 3,820,105 3,830,943 
COMMIT TO PUR FNMA SF MTG2.500% 03/01/2051 DD 03/01/2128,000,000 29,328,906 29,425,200 
14


COOPERATIVE RABOBANK UA 144A2.625% 07/22/2024 DD 07/22/19700,000 698,341 748,573 
COOPERATIVE RABOBANK UA 144AVAR RT 06/24/2026 DD 06/24/20500,000 500,000 510,570 
CREDIT AGRICOLE SA/LONDON 144A3.250% 10/04/2024 DD 10/04/17900,000 926,010 976,302 
CREDIT SUISSE AG/NEW YORK NY3.625% 09/09/2024 DD 09/09/141,000,000 1,003,200 1,109,610 
CREDIT SUISSE GROUP AG 144AVAR RT 06/05/2026 DD 06/05/201,000,000 1,000,000 1,045,050 
CSAIL 2015-C1 COMMERCIA C1 ASB3.351% 04/15/2050 DD 03/01/15330,585 340,502 347,448 
CSAIL 2015-C4 COMMERCIA C4 ASB3.617% 11/15/2048 DD 11/01/15953,657 1,025,218 1,017,466 
DAIMLER FINANCE NORTH AME 144A2.300% 02/12/2021 DD 11/14/171,400,000 1,397,074 1,402,828 
DELL INTERNATIONAL LLC / 144A5.450% 06/15/2023 DD 06/01/16400,000 436,568 442,408 
DELL INTERNATIONAL LLC / 144A6.020% 06/15/2026 DD 06/01/16300,000 360,438 365,985 
DEUTSCHE BANK AG/NEW YORK NY4.250% 10/14/2021 DD 04/14/18800,000 798,104 820,344 
DTE ENERGY CO1.050% 06/01/2025 DD 08/06/20900,000 898,911 910,107 
DUKE ENERGY CORP 144AVAR RT 05/14/2021 DD 05/16/18500,000 500,000 500,745 
ECMC GROUP STUDENT L 2A A 144AVAR RT 05/25/2067 DD 08/10/17617,501 617,501 619,669 
ENBRIDGE INC2.900% 07/15/2022 DD 07/07/17800,000 780,298 829,552 
ESC LEHMAN BRTH HLD0.000% 05/02/2018 DD 04/24/081,800,000 931,276 20,700 
ESC LEHMAN BRTH HLD ESCROW0.000% 11/24/2013 DD 01/22/08900,000 478,334 10,080 
FEDERAL HOME LN BK CONS BD3.375% 12/08/2023 DD 12/09/131,300,000 1,326,620 1,420,276 
FEDERAL HOME LN BK CONS BD1.500% 08/15/2024 DD 08/16/191,700,000 1,696,005 1,780,835 
FEDERAL HOME LN MTG CORP0.690% 08/05/2025 DD 08/05/204,200,000 4,200,000 4,201,618 
FEDERAL HOME LN MTG CORP0.700% 08/18/2025 DD 08/18/202,200,000 2,200,000 2,201,151 
FEDERAL NATL MTG ASSN1.875% 09/24/2026 DD 09/27/162,000,000 1,838,240 2,162,500 
FEDERAL NATL MTG ASSN2.000% 01/05/2022 DD 01/09/171,800,000 1,797,166 1,834,254 
FEDERAL NATL MTG ASSN2.375% 01/19/2023 DD 01/23/181,200,000 1,193,292 1,254,960 
FEDERAL NATL MTG ASSN1.625% 10/15/2024 DD 10/18/194,000,000 3,993,160 4,216,520 
FEDERAL NATL MTG ASSN1.625% 01/07/2025 DD 01/10/201,000,000 996,810 1,053,770 
FHLMC POOL #1G-1744VAR RT 08/01/2035 DD 09/01/0565,014 65,194 67,768 
FHLMC POOL #78-0605VAR RT 06/01/2033 DD 06/01/03198,839 198,714 207,705 
FHLMC POOL #84-6183VAR RT 01/01/2024 DD 10/01/954,352 4,165 4,360 
FHLMC POOL #G0-88353.500% 08/01/2048 DD 08/01/18196,353 194,604 207,690 
FHLMC POOL #G0-88364.000% 08/01/2048 DD 08/01/18296,664 303,200 316,359 
FHLMC POOL #G0-88413.500% 09/01/2048 DD 09/01/182,229,480 2,209,623 2,354,375 
FHLMC POOL #ZT-15454.000% 12/01/2048 DD 12/01/18224,248 231,816 239,149 
FHLMC MULTICLASS MTG 3225 HFVAR RT 10/15/2036 DD 10/15/06279,136 280,444 282,237 
FHLMC MULTICLASS MTG 3843 FEVAR RT 04/15/2041 DD 04/15/11305,998 306,763 310,016 
FHLMC MULTICLASS MTG 3843 FGVAR RT 04/15/2041 DD 04/15/11305,998 306,763 310,016 
FHLMC MULTICLASS MTG 4559 AFVAR RT 03/15/2042 DD 03/01/16801,136 802,137 810,453 
FHLMC MULTICLASS MTG 4736 CD3.000% 08/15/2046 DD 11/01/17434,614 427,891 460,713 
FHLMC MULTICLASS MTG 4989 FAVAR RT 08/15/2040 DD 06/01/20173,006 172,168 173,215 
FHLMC MULTICLASS MTG 4989 FBVAR RT 10/15/2040 DD 06/01/2085,894 85,478 85,994 
FHLMC MULTICLASS MTG K038 A23.389% 03/25/2024 DD 06/01/141,000,000 1,029,951 1,087,720 
FHLMC MULTICLASS MTG K065 A12.864% 10/25/2026 DD 07/01/17621,801 634,203 666,608 
FHLMC MULTICLASS MTG W5FX AFXVAR RT 04/25/2028 DD 06/01/182,400,000 2,342,856 2,689,296 
FNMA POOL #0072163VAR RT 02/01/2028 DD 02/01/891,410 1,399 1,417 
FNMA POOL #0303298VAR RT 01/01/2025 DD 04/01/95434 446 435 
FNMA POOL #0323919VAR RT 08/01/2029 DD 08/01/997,829 7,516 7,916 
FNMA POOL #0361373VAR RT 07/01/2026 DD 09/01/968,030 8,234 8,062 
FNMA POOL #0FM17963.500% 10/01/2034 DD 10/01/191,797,469 1,872,457 1,925,700 
FNMA POOL #0FM18433.500% 11/01/2034 DD 10/01/191,420,598 1,480,640 1,520,153 
15


FNMA POOL #0MA27053.000% 08/01/2046 DD 07/01/16418,852 436,097 440,707 
FNMA POOL #0MA34434.000% 07/01/2048 DD 07/01/181,924,571 2,002,456 2,052,920 
FNMA POOL #0MA38973.000% 01/01/2035 DD 12/01/19582,983 599,767 611,666 
FNMA GTD REMIC P/T 15-79 FEVAR RT 11/25/2045 DD 10/25/15476,724 473,968 477,124 
FNMA GTD REMIC P/T 16-11 CFVAR RT 03/25/2046 DD 02/25/16541,498 539,806 543,480 
FNMA GTD REMIC P/T 17-M12 A12.747% 06/25/2027 DD 10/01/17940,235 949,620 989,616 
FNMA GTD REMIC P/T 17-M8 A12.654% 05/25/2027 DD 07/01/17283,262 286,085 295,318 
FNMA GTD REMIC P/T 18-M12 FAVAR RT 08/25/2025 DD 09/01/18365,074 364,473 364,106 
GATX CORPVAR RT 11/05/2021 DD 11/06/17800,000 800,000 801,824 
GE CAPITAL FUNDING LLC 144A3.450% 05/15/2025 DD 05/18/20550,000 549,500 606,826 
GNMA POOL #04347978.500% 07/15/2030 DD 07/01/002,564 2,661 2,656 
GNMA POOL #04349448.500% 11/15/2030 DD 11/01/002,303 2,390 2,381 
GNMA POOL #04349858.500% 12/15/2030 DD 12/01/002,010 2,083 2,018 
GNMA POOL #04948858.500% 03/15/2030 DD 03/01/00334 347 335 
GNMA POOL #04981478.500% 12/15/2029 DD 12/01/99245 254 246 
GNMA POOL #05111728.500% 01/15/2030 DD 01/01/00454 471 456 
GNMA POOL #05209798.500% 09/15/2030 DD 09/01/003,470 3,601 4,036 
GNMA POOL #05218298.500% 05/15/2030 DD 05/01/003,568 3,700 3,966 
GNMA POOL #05311978.500% 06/15/2030 DD 06/01/006,968 7,223 6,998 
GNMA POOL #06980366.000% 01/15/2039 DD 01/01/0913,025 14,191 15,403 
GNMA POOL #07821906.000% 10/15/2037 DD 10/01/072,477 2,699 2,992 
GNMA POOL #07824496.000% 09/15/2038 DD 10/01/0820,580 22,423 24,567 
GNMA II POOL #00030018.500% 11/20/2030 DD 11/01/004,658 4,811 5,525 
GNMA II POOL #0008089VAR RT 12/20/2022 DD 12/01/9210,703 10,884 10,762 
GNMA II POOL #0008913VAR RT 07/20/2026 DD 07/01/965,611 5,546 5,775 
GNMA II POOL #0080022VAR RT 12/20/2026 DD 12/01/966,828 6,858 7,038 
GNMA II POOL #0080354VAR RT 12/20/2029 DD 12/01/9915,363 15,721 15,945 
GOLDMAN SACHS GROUP INC/THE4.000% 03/03/2024 DD 03/03/14400,000 420,300 441,988 
GOLDMAN SACHS GROUP INC/THEVAR RT 06/05/2028 DD 06/05/17100,000 96,959 115,202 
GOLDMAN SACHS GROUP INC/THE3.800% 03/15/2030 DD 03/19/202,000,000 2,329,900 2,353,320 
GOLDMAN SACHS GROUP INC/THE3.750% 05/22/2025 DD 05/22/15200,000 201,482 224,550 
GS MORTGAGE SECURITIES GC39 A33.307% 05/10/2052 DD 05/01/19500,000 515,566 567,330 
HARLEY-DAVIDSON FINANCIAL 144AVAR RT 03/02/2021 DD 11/28/181,000,000 1,000,000 1,000,190 
HAWAII ST0.852% 10/01/2025 DD 10/29/20700,000 700,000 708,281 
HSBC HOLDINGS PLCVAR RT 03/13/2028 DD 03/13/17700,000 797,377 799,379 
HSBC HOLDINGS PLCVAR RT 06/19/2029 DD 06/19/181,500,000 1,522,230 1,774,575 
HYUNDAI CAPITAL AMERICA 144A2.850% 11/01/2022 DD 10/31/19600,000 599,934 621,780 
IMPERIAL BRANDS FINANCE P 144A3.750% 07/21/2022 DD 07/21/151,000,000 1,059,420 1,042,580 
INTERCONTINENTAL EXCHANGE INCVAR RT 06/15/2023 DD 08/20/20800,000 800,000 803,624 
JP MORGAN MORTGAGE TRUS A2 4A1VAR RT 05/25/2034 DD 04/01/0424,963 24,826 25,087 
JPMBB COMMERCIAL MORTG C17 ASB3.705% 01/15/2047 DD 12/01/13361,867 378,788 379,063 
JPMBB COMMERCIAL MORTG C21 ASB3.428% 08/15/2047 DD 07/01/14842,660 867,937 877,150 
JPMBB COMMERCIAL MORTG C24 ASB3.368% 11/15/2047 DD 10/01/14755,576 778,240 793,936 
JPMDB COMMERCIAL MORTGA C4 ASB2.994% 12/15/2049 DD 11/01/16900,000 926,999 966,159 
JPMORGAN CHASE & CO3.625% 05/13/2024 DD 05/13/143,000,000 3,128,610 3,317,010 
KANSAS ST DEV FIN AUTH REVENUE2.927% 04/15/2021 DD 08/20/15950,000 950,000 956,679 
KINDER MORGAN ENERGY PARTNERS4.300% 05/01/2024 DD 05/02/14500,000 516,530 553,615 
KINDER MORGAN ENERGY PARTNERS3.500% 09/01/2023 DD 02/28/131,500,000 1,480,858 1,606,710 
KOREA DEVELOPMENT BANK/THEVAR RT 02/18/2023 DD 02/18/20800,000 800,000 800,072 
16


LEHMAN BRTH HLD (RICI) ESCROW0.000% 12/28/2017 DD 12/21/072,000,000 1,998,520 — 
LELAND STANFORD JUNIOR UNIVERS1.289% 06/01/2027 DD 06/04/20400,000 400,000 410,631 
LLOYDS BANKING GROUP PLC4.050% 08/16/2023 DD 08/16/18800,000 799,784 874,224 
LLOYDS BANKING GROUP PLC4.550% 08/16/2028 DD 08/16/18900,000 1,079,190 1,085,310 
LOS ANGELES CA MUNI IMPT CORPL3.432% 11/01/2021 DD 11/19/15450,000 450,000 461,507 
LOS ANGELES CNTY CA REDEV REFU2.000% 09/01/2023 DD 08/25/16800,000 792,424 832,904 
MASTR ADJUSTABLE RATE M 15 1A1VAR RT 12/25/2034 DD 11/01/044,158 4,178 4,116 
MERRILL LYNCH MORTGAGE A1 2A1VAR RT 02/25/2034 DD 02/01/0470,194 70,485 70,833 
MET TOWER GLOBAL FUNDING 144AVAR RT 01/17/2023 DD 01/17/20900,000 900,000 903,051 
MIAMI-DADE CNTY FL AVIATION RE3.285% 10/01/2023 DD 08/30/18800,000 800,000 854,104 
MIAMI-DADE CNTY FL SPL OBLIG2.036% 10/01/2029 DD 01/07/21500,000 500,000 505,470 
MICHIGAN ST BLDG AUTH REVENUE1.116% 10/15/2026 DD 09/17/20700,000 700,000 708,617 
MITSUBISHI UFJ FINANCIAL GROUP2.048% 07/17/2030 DD 07/17/201,000,000 1,000,000 1,044,860 
MIZUHO FINANCIAL GROUP INCVAR RT 09/08/2024 DD 09/08/20700,000 700,000 704,263 
MORGAN STANLEY4.000% 07/23/2025 DD 07/23/152,000,000 2,131,000 2,288,740 
MORGAN STANLEY3.625% 01/20/2027 DD 01/20/17100,000 109,382 114,522 
MORGAN STANLEY BANK OF C13 ASB3.557% 11/15/2046 DD 12/01/13261,486 271,671 271,459 
MORGAN STANLEY BANK OF C16 A43.600% 06/15/2047 DD 06/01/14900,000 957,516 957,744 
MORGAN STANLEY CAPITAL HR2 ASB3.509% 12/15/2050 DD 12/01/17700,000 720,984 781,095 
NARRAGANSETT ELECTRIC CO/ 144A3.395% 04/09/2030 DD 04/09/201,250,000 1,250,000 1,417,663 
NATWEST GROUP PLC3.875% 09/12/2023 DD 09/12/161,100,000 1,100,437 1,193,544 
NAVIENT STUDENT LOAN 5A A 144AVAR RT 06/25/2065 DD 08/11/16462,859 462,859 468,752 
NEW YORK CITY NY TRANSITIONAL3.480% 08/01/2026 DD 09/25/181,000,000 1,000,000 1,136,850 
NEW YORK LIFE GLOBAL FUND 144A1.200% 08/07/2030 DD 08/07/20500,000 499,155 484,905 
NEW YORK ST URBAN DEV CORP REV2.100% 03/15/2022 DD 03/23/17845,000 844,603 854,388 
NEW YORK ST URBAN DEV CORP SAL2.150% 03/15/2025 DD 10/30/19700,000 693,924 734,279 
NISSAN MOTOR ACCEPTANCE C 144AVAR RT 01/13/2022 DD 01/13/17600,000 599,490 598,722 
NISSAN MOTOR ACCEPTANCE C 144A3.650% 09/21/2021 DD 09/21/18200,000 205,628 203,486 
OREGON ST DEPT OF TRANSPRTN HI1.530% 11/15/2030 DD 09/17/201,300,000 1,300,000 1,313,325 
PACIFIC GAS AND ELECTRIC CO2.500% 02/01/2031 DD 06/19/20600,000 599,376 602,190 
PETROBRAS GLOBAL FINANCE BV6.250% 03/17/2024 DD 03/17/14200,000 200,980 227,412 
PROTECTIVE LIFE GLOBAL FU 144A1.737% 09/21/2030 DD 09/21/20600,000 600,000 603,006 
RYDER SYSTEM INC2.875% 06/01/2022 DD 05/22/19700,000 699,594 723,107 
SABINE PASS LIQUEFACTION LLC5.750% 05/15/2024 DD 11/15/141,000,000 1,117,630 1,143,290 
SAN JOSE CA REDEV AGY SUCCESSO3.125% 08/01/2028 DD 12/21/17800,000 754,056 883,944 
SANTANDER UK GROUP HOLDINGS PLVAR RT 08/21/2026 DD 08/21/201,000,000 1,000,000 1,015,080 
SBA TOWER TRUST 144A2.836% 01/15/2050 DD 09/13/19800,000 800,000 851,720 
SLC STUDENT LOAN TRUST 20 2 A3VAR RT 03/15/2027 DD 09/28/0529,575 29,511 29,576 
SLC STUDENT LOAN TRUST 20 2 A5VAR RT 09/15/2026 DD 09/19/06115,114 114,146 115,094 
SLM STUDENT LOAN T 10 A7B 144AVAR RT 10/25/2029 DD 04/25/18562,630 562,630 561,386 
SLM STUDENT LOAN T 3A A6B 144AVAR RT 10/25/2064 DD 04/25/14909,340 898,542 897,774 
SLM STUDENT LOAN TRUST 20 1 A5VAR RT 01/26/2026 DD 01/25/0780,168 79,917 80,126 
SLM STUDENT LOAN TRUST 20 4 A3VAR RT 01/25/2027 DD 05/19/05193,595 192,567 192,459 
SLM STUDENT LOAN TRUST 20 8 A5VAR RT 01/27/2025 DD 09/14/06242,505 241,671 242,226 
SMBC AVIATION CAPITAL FIN 144A4.125% 07/15/2023 DD 07/30/18500,000 498,965 533,820 
SMBC AVIATION CAPITAL FIN 144A3.550% 04/15/2024 DD 04/15/19900,000 901,386 955,998 
SOCIETE GENERALE SA 144A2.625% 01/22/2025 DD 01/22/20800,000 798,400 847,272 
SOCIETE GENERALE SA 144AVAR RT 12/14/2026 DD 12/14/20700,000 700,000 706,181 
SOUTHERN CALIFORNIA EDISON CO1.200% 02/01/2026 DD 10/01/20900,000 898,290 910,701 
17


STRYKER CORP3.500% 03/15/2026 DD 03/10/16800,000 764,936 904,272 
SUMITOMO MITSUI FINANCIAL GRP2.448% 09/27/2024 DD 09/27/19500,000 500,000 532,505 
SUMITOMO MITSUI TRUST BAN 144A0.800% 09/12/2023 DD 09/16/20300,000 299,868 302,715 
SUTTER HEALTH1.321% 08/15/2025 DD 10/29/20500,000 500,000 508,425 
TEXAS ST TRANSPRTN COMMISSIONS4.000% 10/01/2033 DD 07/01/20600,000 743,928 755,346 
THORNBURG MORTGAGE SECUR 4 2A1VAR RT 09/25/2037 DD 08/01/0741,403 41,386 42,364 
TOYOTA AUTO LOAN EXT 1A A 144A2.560% 11/25/2031 DD 06/19/191,000,000 999,665 1,067,910 
U S TREASURY NOTE2.750% 08/31/2023 DD 08/31/183,000,000 2,975,508 3,206,610 
U S TREASURY NOTE3.125% 11/15/2028 DD 11/15/184,600,000 4,792,323 5,446,308 
U S TREASURY NOTE2.375% 05/15/2029 DD 05/15/19500,000 515,775 565,080 
U S TREASURY NOTE2.125% 03/31/2024 DD 03/31/171,800,000 1,787,133 1,912,428 
U S TREASURY NOTE2.000% 04/30/2024 DD 04/30/174,100,000 4,063,164 4,345,672 
U S TREASURY NOTE1.500% 11/30/2024 DD 11/30/199,100,000 9,047,746 9,542,533 
U S TREASURY NOTE1.375% 01/31/2025 DD 01/31/201,800,000 1,835,508 1,881,000 
U S TREASURY NOTE0.625% 05/15/2030 DD 05/15/203,600,000 3,566,367 3,519,576 
U S TREASURY NOTE0.250% 05/31/2025 DD 05/31/205,700,000 5,664,598 5,689,113 
U S TREASURY NOTE0.250% 10/31/2025 DD 10/31/2013,000,000 12,911,641 12,944,141 
U S TREASURY NOTE0.375% 11/30/2025 DD 11/30/2012,000,000 11,999,531 12,016,920 
UBS COMMERCIAL MORTGAGE C4 ASB3.366% 10/15/2050 DD 10/01/17500,000 514,982 547,585 
UBS COMMERCIAL MORTGAGE C7 ASB3.586% 12/15/2050 DD 12/01/17800,000 823,995 892,880 
UBS GROUP AG 144AVAR RT 08/13/2030 DD 08/13/191,100,000 1,226,082 1,230,691 
UBS-BARCLAYS COMMERCIAL C5 AAB2.687% 03/10/2046 DD 02/01/13214,439 213,401 219,296 
UNITED STATES INTERNATIONAL DE3.790% 06/15/2034 DD 03/17/14936,612 937,051 1,111,000 
UNIV OF CALIFORNIA CA REVENUES2.719% 05/15/2024 DD 09/28/17700,000 700,000 748,748 
UTAH ST3.539% 07/01/2025 DD 09/30/101,350,000 1,450,802 1,468,692 
WELLS FARGO & CO3.300% 09/09/2024 DD 09/09/142,100,000 2,090,571 2,299,941 
WELLS FARGO & COVAR RT 06/17/2027 DD 06/17/191,600,000 1,656,176 1,774,336 
WELLS FARGO COMMERCIAL C30 ASB3.412% 09/15/2058 DD 08/01/15725,215 776,377 769,061 
WELLS FARGO COMMERCIAL C35 ASB2.788% 07/15/2048 DD 07/01/16600,000 617,980 633,108 
WEYERHAEUSER CO4.000% 04/15/2030 DD 03/30/20300,000 295,410 355,266 
WISCONSIN ELECTRIC POWER CO2.050% 12/15/2024 DD 12/10/19900,000 899,829 952,677 
WISCONSIN ST GEN FUND ANNUAL A1.899% 05/01/2022 DD 08/16/16800,000 800,000 815,688 
WYANDOTTE CNTY/KANSAS CITY KS1.562% 09/01/2026 DD 09/15/201,000,000 1,000,000 1,025,540 
YALE UNIVERSITY0.873% 04/15/2025 DD 06/09/201,100,000 1,100,000 1,117,369 
ZIMMER BIOMET HOLDINGS INC3.550% 04/01/2025 DD 03/19/15800,000 826,712 883,672 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2036 DD 01/01/212,000,000 (2,069,063)(2,069,063)
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2036 DD 02/01/212,000,000 (2,085,313)(2,085,313)
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2036 DD 03/01/212,000,000 (2,084,688)(2,084,688)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/213,700,000 (3,791,922)(3,791,922)
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/213,700,000 (3,817,938)(3,817,938)
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2051 DD 03/01/213,700,000 (3,820,105)(3,820,105)
COMMIT TO PUR FNMA SF MTG2.500% 01/01/2051 DD 01/01/214,500,000 (4,676,836)(4,676,836)
COMMIT TO PUR FNMA SF MTG2.500% 01/01/2051 DD 01/01/2123,500,000 (24,429,902)(24,429,902)
COMMIT TO PUR FNMA SF MTG2.500% 02/01/2051 DD 02/01/2128,000,000 (29,186,719)(29,186,719)
COMMIT TO PUR FNMA SF MTG2.500% 03/01/2051 DD 03/01/2128,000,000 (29,328,906)(29,328,906)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2036 DD 01/01/21(2,000,000)2,087,266 2,087,266 
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2036 DD 02/01/21(2,000,000)2,086,953 2,086,953 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21(3,700,000)3,825,598 3,825,598 
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/21(3,700,000)3,826,609 3,826,609 
18


COMMIT TO PUR FNMA SF MTG2.500% 01/01/2051 DD 01/01/21(4,500,000)4,696,348 4,696,348 
COMMIT TO PUR FNMA SF MTG2.500% 01/01/2051 DD 01/01/21(23,500,000)24,525,371 24,525,371 
COMMIT TO PUR FNMA SF MTG2.500% 02/01/2051 DD 02/01/21(28,000,000)29,371,563 29,371,563 
FHLMC POOL #1G-1744VAR RT 08/01/2035 DD 09/01/05(354)354 354 
FHLMC POOL #78-0605VAR RT 06/01/2033 DD 06/01/03(1,092)1,092 1,092 
FHLMC POOL #84-6183VAR RT 01/01/2024 DD 10/01/95(405)405 405 
FHLMC MULTICLASS MTG 4559 AFVAR RT 03/15/2042 DD 03/01/16(10,271)10,271 10,271 
FHLMC MULTICLASS MTG 4989 FAVAR RT 08/15/2040 DD 06/01/20(2,645)2,645 2,645 
FHLMC MULTICLASS MTG 4989 FBVAR RT 10/15/2040 DD 06/01/20(2,290)2,290 2,290 
MIAMI-DADE CNTY FL SPL OBLIG2.036% 10/01/2029 DD 01/07/21500,000 (500,000)(500,000)
INTEREST BEARING CASHTEMPORARY INVESTMENTS34,760,950 34,760,950 
TOTAL UNDERLYING ASSETS$252,567,856 $258,524,551 
Pacific Life Ins G-27523.01.001 -59.4% of MARKET VALUE$153,511,878 
IGT INVESCO SHORT-TERM BOND FUND152,701,642 
FAIR VALUE Pacific Life Ins - G-27523.01.0001306,213,520 
Pacific Life Ins G-27523.01.001 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE(13,313,612)
Pacific Life Ins G-27523.01.001 - CONTRACT VALUE$292,899,908 
Voya Retirement & Annuity 60031 -40.6% of MARKET VALUE$105,012,673 
IGT INVESCO SHORT-TERM BOND FUND309,229,163 
FAIR VALUE Voya Retirement & Annuity 60031414,241,836 
Voya Retirement & Annuity 60031 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE(13,357,681)
Voya Retirement & Annuity 60031 - CONTRACT VALUE$400,884,155 
19


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY            
EMPLOYER IDENTIFICATION NO. 38-1285128            
PLAN NO. 002        
APPENDIX B - UNDERLYING ASSETS FOR VOYA RETIREMENT & ANNUITY 60090            
December 31, 2020
(c)
(b)Face Value(e)
Identity of Issue, Borrower,or Number (d)Current
(a)Lessor or Similar Partyof Shares CostValue
AMERIQUEST MORTGAGE SEC AR2 M1VAR RT 05/25/2033 DD 05/14/033,068 $3,068 $3,044 
ASSET BACKED SECURITIES HE3 M1VAR RT 06/15/2033 DD 06/03/037,001 6,995 6,993 
ASSET BACKED SECURITIES HE4 M2VAR RT 08/15/2033 DD 08/06/032,460 2,460 2,507 
CDC MORTGAGE CAPITAL TR HE1 M1VAR RT 08/25/2033 DD 03/28/031,895 1,883 1,902 
CDC MORTGAGE CAPITAL TR HE2 M1VAR RT 10/25/2033 DD 05/29/031,909 1,910 1,906 
CDC MORTGAGE CAPITAL TR HE3 M1VAR RT 03/25/2033 DD 11/27/021,011 1,013 1,032 
COUNTRYWIDE ASSET-BACKED 5 MV1VAR RT 03/25/2033 DD 12/30/021,129 1,144 1,129 
GNMA II POOL #0891616VAR RT 06/20/2058 DD 07/01/08208,599 212,697 211,949 
HOME EQUITY ASSET TRUST 2 5 M1VAR RT 12/25/2033 DD 08/28/031,019 1,019 1,020 
LONG BEACH MORTGAGE LOAN 3 M1VAR RT 07/25/2033 DD 06/05/0325,031 25,031 25,018 
MORGAN STANLEY ABS CAPI NC7 M1VAR RT 06/25/2033 DD 07/30/031,947 1,947 1,947 
U S TREASURY NOTE1.500% 10/31/2021 DD 10/31/191,000,000 998,164 1,011,403 
INTEREST BEARING CASHTEMPORARY INVESTMENTS35,532 35,532 
TOTAL UNDERLYING ASSETS$1,292,863 1,305,382 
ADJUSTMENT FROM MARKET TO CONTRACT VALUE(19,296)
CONTRACT VALUE$1,286,086 
20


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN        
PLAN SPONSOR: THE DOW CHEMICAL COMPANY        
EMPLOYER IDENTIFICATION NO. 38-1285128        
PLAN NO. 002        
APPENDIX C - UNDERLYING ASSETS FOR TRANSAMERICA MDA01078TR
December 31, 2020    
(c)
(b)Face Value(e)
Identity of Issue, Borrower,or Number(d)Current
(a)Lessor or Similar Partyof SharesCostValue
 ABBVIE INC  5.000% 12/15/2021 DD 06/15/20 325,000 $342,261 $335,515 
 ABBVIE INC  3.450% 03/15/2022 DD 09/15/20 1,150,000 1,196,035 1,185,995 
 AETNA INC  3.500% 11/15/2024 DD 11/10/14 755,000 786,247 828,665 
 AETNA INC  2.800% 06/15/2023 DD 06/09/16 110,000 111,114 115,737 
 AIG GLOBAL FUNDING 144A  0.900% 09/22/2025 DD 09/22/20 105,000 104,913 105,212 
 ALLY FINANCIAL INC  1.450% 10/02/2023 DD 09/18/20 205,000 208,372 209,268 
 ALTRIA GROUP INC  3.490% 02/14/2022 DD 02/14/19 500,000 499,970 517,180 
 ALTRIA GROUP INC  4.400% 02/14/2026 DD 02/14/19 290,000 336,273 336,710 
 AMEREN CORP  2.500% 09/15/2024 DD 09/16/19 265,000 282,151 282,448 
 AMERICA MOVIL SAB DE CV  3.125% 07/16/2022 DD 07/16/12 245,000 245,123 254,129 
 AMERICAN ELECTRIC POWER CO INC  1.000% 11/01/2025 DD 11/20/20 900,000 897,921 910,710 
 AMERICAN HONDA FINANCE CORP  0.875% 07/07/2023 DD 07/08/20 550,000 549,824 556,694 
 AMERICAN HONDA FINANCE CORP  0.650% 09/08/2023 DD 09/10/20 1,100,000 1,099,516 1,106,952 
 AT&T INC 144A  0.000% 11/27/2022 DD 11/27/07 2,000,000 1,652,767 1,983,160 
 BANK OF AMERICA CORP  VAR RT 01/20/2028 DD 01/20/17 1,025,000 1,167,270 1,177,305 
 BANK OF AMERICA CORP  VAR RT 03/05/2024 DD 03/05/18 505,000 506,394 539,486 
 BANK OF AMERICA CORP  VAR RT 10/24/2024 DD 10/21/20 1,370,000 1,370,000 1,382,796 
 BANK OF MONTREAL  VAR RT 10/05/2028 DD 10/05/18 335,000 351,857 366,601 
 BANK OF MONTREAL  0.450% 12/08/2023 DD 12/08/20 1,025,000 1,024,334 1,028,014 
 BARCLAYS PLC  VAR RT 12/10/2024 DD 12/10/20 1,375,000 1,375,000 1,384,749 
 BAT CAPITAL CORP  3.215% 09/06/2026 DD 09/06/19 840,000 907,345 925,151 
 BAYER US FINANCE II LLC 144A  3.875% 12/15/2023 DD 06/25/18 1,375,000 1,370,518 1,497,815 
 BBVA USA  3.500% 06/11/2021 DD 06/11/18 355,000 361,901 359,012 
 BERKSHIRE HATHAWAY INC  2.200% 03/15/2021 DD 03/15/16 200,000 204,749 200,434 
 BOSTON SCIENTIFIC CORP  3.450% 03/01/2024 DD 02/25/19 370,000 369,778 400,803 
 BRISTOL-MYERS SQUIBB CO  2.750% 02/15/2023 DD 02/15/20 800,000 841,568 839,480 
 BRISTOL-MYERS SQUIBB CO  0.750% 11/13/2025 DD 11/13/20 50,000 49,919 50,343 
 BRISTOL-MYERS SQUIBB CO  0.537% 11/13/2023 DD 11/13/20 600,000 600,000 601,086 
 BROADCOM CORP / BROADCOM CAYMA  2.200% 01/15/2021 DD 10/17/17 200,000 201,250 200,092 
 BROADCOM INC  2.250% 11/15/2023 DD 05/08/20 195,000 194,981 203,654 
 CANADIAN NATURAL RESOURCES 2.950% 01/15/2023 DD 05/30/17 425,000 424,375 444,499 
 CANADIAN PACIFIC RAILWAY CO  2.900% 02/01/2025 DD 02/02/15 500,000 513,985 541,300 
 CARRIER GLOBAL CORP  1.923% 02/15/2023 DD 08/15/20 750,000 750,000 772,628 
 CENTERPOINT ENERGY INC  3.600% 11/01/2021 DD 10/05/18 935,000 934,729 959,927 
 CF INDUSTRIES INC 144A  3.400% 12/01/2021 DD 11/21/16 170,000 174,724 173,987 
 CHARLES SCHWAB CORP/THE  0.900% 03/11/2026 DD 12/11/20 830,000 828,987 840,624 
 CIGNA CORP  3.400% 09/17/2021 DD 03/17/19 1,940,000 1,940,000 1,981,710 
 CITIBANK NA  VAR RT 02/19/2022 DD 02/19/19 1,400,000 1,400,496 1,404,886 
 CITIGROUP INC  VAR RT 10/30/2024 DD 10/30/20 1,050,000 1,050,000 1,056,815 
 COMMONSPIRIT HEALTH  2.950% 11/01/2022 DD 10/31/12 370,000 375,550 386,447 
 CONSTELLATION BRANDS INC  4.250% 05/01/2023 DD 05/14/13 580,000 613,052 632,223 
 COOPERATIEVE RABOBANK UA 144A  VAR RT 09/24/2026 DD 09/24/20 700,000 700,000 704,998 
21


 CREDIT SUISSE AG/NEW YORK NY  2.950% 04/09/2025 DD 04/09/20 495,000 494,154 543,010 
 CREDIT SUISSE GROUP AG 144A  VAR RT 06/05/2026 DD 06/05/20 315,000 315,000 329,191 
 DELL INTERNATIONAL LLC / 144A  4.000% 07/15/2024 DD 03/20/19 730,000 726,781 804,920 
 DELTA AIR LINES INC / SKY 144A  4.500% 10/20/2025 DD 09/23/20 815,000 820,711 871,121 
 DEUTSCHE BANK AG/NEW YORK NY  VAR RT 09/18/2024 DD 09/18/20 960,000 960,000 987,590 
 DTE ENERGY CO  VAR RT 10/01/2024 DD 07/01/19 965,000 964,682 1,028,188 
 EAST OHIO GAS CO/THE 144A  1.300% 06/15/2025 DD 06/16/20 360,000 359,636 366,815 
 EASTMAN CHEMICAL CO  3.500% 12/01/2021 DD 11/06/18 470,000 468,717 482,765 
 ENERGY TRANSFER PARTNERS LP /  4.500% 11/01/2023 DD 11/01/13 260,000 257,876 281,507 
 ENTERGY CORP  0.900% 09/15/2025 DD 08/26/20 300,000 298,818 299,898 
 ENTERGY LOUISIANA LLC  0.620% 11/17/2023 DD 11/24/20 1,065,000 1,064,808 1,068,536 
 EVERSOURCE ENERGY  2.800% 05/01/2023 DD 05/13/13 650,000 660,758 682,006 
 EXELON CORP  2.450% 04/15/2021 DD 04/07/16 905,000 916,032 908,548 
 FEDERAL HOME LN MTG CORP  0.375% 09/23/2025 DD 09/25/20 1,195,000 1,191,403 1,193,016 
 FEDERAL NATL MTG ASSN  0.500% 11/07/2025 DD 11/12/20 1,305,000 1,300,328 1,310,455 
 FHLMC POOL #ZS-2253  5.500% 08/01/2038 DD 09/01/18 66,445 78,820 78,115 
 FOMENTO ECONOMICO MEXICANO  2.875% 05/10/2023 DD 05/10/13 610,000 610,138 637,450 
 GENERAL MOTORS CO  4.875% 10/02/2023 DD 04/02/14 105,000 112,880 116,485 
 GENERAL MOTORS CO  5.400% 10/02/2023 DD 05/12/20 570,000 569,407 638,252 
 GENERAL MOTORS FINANCIAL CO IN  3.950% 04/13/2024 DD 04/13/17 390,000 399,064 424,792 
 GOLDMAN SACHS GROUP INC/THE  VAR RT 07/24/2023 DD 07/24/17 1,310,000 1,321,599 1,360,618 
 HEALTH CARE SERVICE CORP 144A  1.500% 06/01/2025 DD 06/01/20 900,000 920,898 923,769 
 HONEYWELL INTERNATIONAL INC  0.483% 08/19/2022 DD 08/19/20 750,000 750,000 751,200 
 HSBC HOLDINGS PLC  VAR RT 03/13/2023 DD 03/13/17 875,000 875,000 903,831 
 HSBC HOLDINGS PLC  VAR RT 09/12/2026 DD 09/12/18 175,000 196,912 199,444 
 INTERCONTINENTAL EXCHANGE INC  0.700% 06/15/2023 DD 08/20/20 430,000 429,583 433,469 
 ITC HOLDINGS CORP  4.050% 07/01/2023 DD 07/03/13 150,000 157,518 161,615 
 ITC HOLDINGS CORP  3.650% 06/15/2024 DD 06/04/14 265,000 277,842 288,810 
 JPMORGAN CHASE & CO  VAR RT 04/01/2023 DD 03/22/19 1,100,000 1,137,037 1,139,941 
 JPMORGAN CHASE & CO  VAR RT 04/22/2026 DD 04/22/20 1,645,000 1,665,424 1,737,334 
 KIMBERLY-CLARK DE MEXICO 144A  3.250% 03/12/2025 DD 03/12/15 270,000 283,187 290,123 
 L3HARRIS TECHNOLOGIES INC  3.850% 06/15/2023 DD 12/15/19 200,000 208,138 216,030 
 L3HARRIS TECHNOLOGIES INC  3.950% 05/28/2024 DD 11/28/19 375,000 413,505 413,111 
 LEIDOS INC 144A  2.950% 05/15/2023 DD 05/12/20 595,000 592,608 626,005 
 LINCOLN NATIONAL CORP  4.000% 09/01/2023 DD 08/16/13 1,000,000 1,034,310 1,090,780 
 MARSH & MCLENNAN COS INC  3.500% 06/03/2024 DD 05/30/14 300,000 314,916 327,192 
 MITSUBISHI UFJ FINANCIAL GROUP  VAR RT 09/15/2024 DD 09/15/20 1,455,000 1,455,000 1,463,672 
 MIZUHO FINANCIAL GROUP INC  VAR RT 07/10/2024 DD 07/10/20 450,000 450,000 457,466 
 MONONGAHELA POWER CO 144A  4.100% 04/15/2024 DD 11/27/13 1,120,000 1,171,141 1,206,710 
 MORGAN STANLEY  VAR RT 07/22/2025 DD 07/23/19 1,145,000 1,183,861 1,224,669 
 MORGAN STANLEY  VAR RT 01/20/2023 DD 01/22/20 525,000 525,000 526,685 
 MORGAN STANLEY  VAR RT 04/28/2026 DD 04/28/20 155,000 163,187 163,717 
 MPLX LP  1.750% 03/01/2026 DD 08/18/20 565,000 563,785 584,724 
 NASDAQ INC  0.445% 12/21/2022 DD 12/21/20 700,000 700,000 700,819 
 NATIONAL BANK OF CANADA  VAR RT 08/15/2023 DD 07/13/20 890,000 889,466 895,349 
 NATIONAL BANK OF CANADA  VAR RT 11/15/2024 DD 12/10/20 485,000 484,311 486,363 
 NATIONAL RURAL UTILITIES COOPE  2.300% 09/15/2022 DD 08/30/17 450,000 451,548 464,229 
 NATIONAL SECURITIES CLEAR 144A  0.750% 12/07/2025 DD 12/07/20 855,000 852,238 857,189 
 NATWEST MARKETS PLC 144A  2.375% 05/21/2023 DD 05/21/20 185,000 184,410 192,450 
22


 NCUA GUARANTEED NOTES  3.450% 06/12/2021 DD 06/16/11 885,000 947,879 896,974 
 NEW YORK LIFE GLOBAL FUND 144A  2.000% 01/22/2025 DD 01/22/20 510,000 508,169 536,586 
 NEWMONT CORP  3.625% 06/09/2021 DD 06/09/19 960,000 980,659 968,611 
 NORDSTROM INC 144A  8.750% 05/15/2025 DD 04/16/20 165,000 165,000 184,808 
 NORTHROP GRUMMAN CORP  2.930% 01/15/2025 DD 10/13/17 400,000 432,400 435,064 
 NXP BV / NXP FUNDING LLC 144A  2.700% 05/01/2025 DD 05/01/20 430,000 429,639 462,809 
 ONEOK INC  2.200% 09/15/2025 DD 03/10/20 515,000 514,598 532,191 
 PACIFIC GAS AND ELECTRIC CO  3.500% 06/15/2025 DD 06/12/15 415,000 440,730 449,001 
 PANASONIC CORP 144A  2.536% 07/19/2022 DD 07/19/19 215,000 215,000 221,011 
 PEACEHEALTH OBLIGATED GROUP  1.375% 11/15/2025 DD 10/08/20 120,000 120,000 122,482 
 PRICOA GLOBAL FUNDING I 144A  0.800% 09/01/2025 DD 09/01/20 615,000 613,709 615,941 
 PRINCIPAL LIFE GLOBAL FUN 144A  0.500% 01/08/2024 DD 12/08/20 250,000 249,803 250,543 
 PROCTER & GAMBLE - ESOP  9.360% 01/01/2021 DD 12/04/90 18,345 23,390 18,345 
 PSEG POWER LLC  4.300% 11/15/2023 DD 11/08/13 225,000 246,031 245,493 
 PSEG POWER LLC  3.850% 06/01/2023 DD 06/06/18 400,000 432,584 430,356 
 PUBLIC SERVICE ENTERPRISE GROU  2.650% 11/15/2022 DD 11/06/17 760,000 759,035 792,118 
 RAYTHEON TECHNOLOGIES CORP  2.800% 03/15/2022 DD 09/15/20 520,000 541,892 534,789 
 RAYTHEON TECHNOLOGIES CORP  3.700% 12/15/2023 DD 06/15/20 600,000 660,954 652,428 
 REALTY INCOME CORP  0.750% 03/15/2026 DD 12/14/20 205,000 203,344 204,485 
 ROPER TECHNOLOGIES INC  3.650% 09/15/2023 DD 08/28/18 350,000 368,004 379,764 
 ROPER TECHNOLOGIES INC  2.350% 09/15/2024 DD 08/26/19 580,000 578,927 618,964 
 ROYALTY PHARMA PLC 144A  0.750% 09/02/2023 DD 09/02/20 365,000 362,525 366,745 
 SAN DIEGO GAS & ELECTRIC CO  1.914% 02/01/2022 DD 03/12/15 122,146 122,146 122,794 
 SOUTHERN CALIFORNIA EDISON CO  1.845% 02/01/2022 DD 01/16/15 148,929 148,929 149,250 
 SOUTHERN CALIFORNIA GAS CO  3.200% 06/15/2025 DD 06/18/15 345,000 348,616 381,694 
 SOUTHERN CO/THE  2.350% 07/01/2021 DD 05/24/16 605,000 604,177 609,761 
 SOUTHWESTERN PUBLIC SERVICE CO  3.300% 06/15/2024 DD 06/09/14 300,000 312,468 323,733 
 STATE STREET CORP  VAR RT 11/01/2025 DD 11/01/19 500,000 514,928 533,645 
 SUMITOMO MITSUI FINANCIAL GROU  1.474% 07/08/2025 DD 07/08/20 1,000,000 1,000,000 1,024,140 
 SUNCOR ENERGY INC  2.800% 05/15/2023 DD 05/13/20 615,000 614,403 647,091 
 SUNOCO LOGISTICS PARTNERS OPER  5.950% 12/01/2025 DD 11/17/15 365,000 416,392 430,583 
 TAKEDA PHARMACEUTICAL CO 144A  2.450% 01/18/2022 DD 07/18/17 195,000 195,341 198,806 
 TENNESSEE GAS PIPELINE CO LLC  7.000% 03/15/2027 DD 03/13/97 135,000 155,621 168,454 
 TIME WARNER ENTERTAINMENT CO 8.375% 03/15/2023 DD 09/15/93 80,000 90,834 93,510 
 TOYOTA MOTOR CREDIT CORP  0.350% 10/14/2022 DD 10/16/20 1,930,000 1,928,282 1,935,230 
 TRUIST BANK  VAR RT 08/02/2022 DD 07/26/18 545,000 545,000 554,892 
 U S TREASURY NOTE  2.125% 11/30/2024 DD 11/30/17 560,000 571,138 600,841 
 U S TREASURY NOTE  2.750% 04/30/2023 DD 04/30/18 5,805,000 5,948,308 6,156,028 
 U S TREASURY NOTE  2.750% 05/31/2023 DD 05/31/18 6,250,000 6,500,145 6,641,625 
 U S TREASURY NOTE  2.750% 08/31/2023 DD 08/31/18 2,020,000 2,102,694 2,159,117 
 U S TREASURY NOTE  2.875% 09/30/2023 DD 09/30/18 1,530,000 1,526,811 1,643,618 
 U S TREASURY NOTE  2.500% 01/15/2022 DD 01/15/19 1,530,000 1,559,106 1,567,470 
 U S TREASURY NOTE  2.500% 02/15/2022 DD 02/15/19 295,000 295,189 302,847 
 U S TREASURY NOTE  2.375% 02/29/2024 DD 02/28/19 480,000 514,001 513,096 
 U S TREASURY NOTE  2.250% 04/15/2022 DD 04/15/19 11,885,000 12,112,730 12,209,104 
 U S TREASURY NOTE  2.250% 04/30/2024 DD 04/30/19 2,280,000 2,403,263 2,435,336 
 U S TREASURY NOTE  2.125% 05/15/2022 DD 05/15/19 3,110,000 3,156,407 3,195,027 
 U S TREASURY NOTE  1.750% 06/30/2024 DD 06/30/19 12,960,000 13,061,480 13,658,674 
 U S TREASURY NOTE  2.250% 11/15/2024 DD 11/15/14 600,000 573,906 646,362 
23


 U S TREASURY NOTE  1.875% 10/31/2022 DD 10/31/15 3,000,000 2,873,133 3,095,850 
 U S TREASURY NOTE  1.750% 05/15/2022 DD 05/15/12 1,485,000 1,426,311 1,518,071 
 U S TREASURY NOTE  1.750% 05/15/2023 DD 05/15/13 1,780,000 1,726,595 1,847,729 
 U S TREASURY NOTE  2.125% 03/31/2024 DD 03/31/17 5,015,000 5,172,306 5,328,237 
 U S TREASURY NOTE  1.875% 04/30/2022 DD 04/30/17 4,165,000 4,057,452 4,261,961 
 U S TREASURY NOTE  1.750% 05/31/2022 DD 05/31/17 5,960,000 5,804,850 6,097,140 
 U S TREASURY NOTE  2.750% 07/31/2023 DD 07/31/18 3,040,000 3,076,974 3,243,528 
 U S TREASURY NOTE  1.500% 09/30/2024 DD 09/30/19 6,430,000 6,474,757 6,733,175 
 U S TREASURY NOTE  1.375% 10/15/2022 DD 10/15/19 4,330,000 4,322,200 4,426,429 
 U S TREASURY NOTE  1.500% 10/31/2024 DD 10/31/19 2,630,000 2,766,534 2,756,477 
 U S TREASURY NOTE  1.375% 01/31/2022 DD 01/31/20 1,470,000 1,471,903 1,489,757 
 U S TREASURY NOTE  0.500% 03/15/2023 DD 03/15/20 5,200,000 5,245,094 5,242,276 
 U S TREASURY NOTE  0.500% 03/31/2025 DD 03/31/20 7,095,000 7,161,958 7,160,416 
 U S TREASURY NOTE  0.375% 03/31/2022 DD 03/31/20 2,420,000 2,422,883 2,427,647 
 U S TREASURY NOTE  0.375% 04/30/2025 DD 04/30/20 2,115,000 2,132,515 2,122,677 
 U S TREASURY NOTE  0.125% 04/30/2022 DD 04/30/20 1,860,000 1,857,896 1,860,428 
 U S TREASURY NOTE  0.125% 05/15/2023 DD 05/15/20 1,755,000 1,755,480 1,754,526 
 U S TREASURY NOTE  0.125% 05/31/2022 DD 05/31/20 3,350,000 3,346,699 3,350,670 
 U S TREASURY NOTE  0.250% 06/15/2023 DD 06/15/20 3,625,000 3,635,479 3,634,353 
 U S TREASURY NOTE  0.250% 06/30/2025 DD 06/30/20 4,070,000 4,064,898 4,059,662 
 U S TREASURY NOTE  0.125% 07/15/2023 DD 07/15/20 1,055,000 1,053,725 1,054,504 
 U S TREASURY NOTE  0.250% 07/31/2025 DD 07/31/20 11,005,000 10,988,749 10,972,755 
 U S TREASURY NOTE  0.125% 08/15/2023 DD 08/15/20 885,000 883,513 884,513 
 U S TREASURY NOTE  0.125% 08/31/2022 DD 08/31/20 2,405,000 2,404,507 2,405,192 
 U S TREASURY NOTE  0.250% 08/31/2025 DD 08/31/20 11,340,000 11,283,401 11,303,258 
 U S TREASURY NOTE  0.125% 09/15/2023 DD 09/15/20 2,195,000 2,193,542 2,193,464 
 U S TREASURY NOTE  0.250% 11/15/2023 DD 11/15/20 2,155,000 2,157,757 2,161,056 
 U S TREASURY NOTE  0.125% 11/30/2022 DD 11/30/20 2,495,000 2,492,759 2,495,299 
 U S TREASURY NOTE  0.625% 11/30/2027 DD 11/30/20 410,000 409,247 409,934 
 U S TREASURY NOTE  0.375% 11/30/2025 DD 11/30/20 2,640,000 2,639,945 2,643,722 
 UNITED AIRLINES 2015-1 CLASS A  3.450% 06/01/2029 DD 11/17/15 144,746 140,766 144,827 
 US BANK NA/CINCINNATI OH  3.450% 11/16/2021 DD 11/16/18 420,000 419,420 430,790 
 VF CORP  2.050% 04/23/2022 DD 04/23/20 620,000 619,888 633,318 
 WELLS FARGO & CO  3.550% 09/29/2025 DD 09/28/15 845,000 951,749 949,222 
 WELLS FARGO & CO  VAR RT 02/11/2026 DD 02/11/20 1,120,000 1,142,257 1,177,725 
 AMEREN CORP  2.500% 09/15/2024 DD 09/16/19 265,000 106 (284,157)
 BERKSHIRE HATHAWAY ENERGY CO  2.375% 01/15/2021 DD 01/05/18 (1,245,000)100 1,259,678 
 CREDIT SUISSE AG/NEW YORK NY  2.100% 11/12/2021 DD 11/12/19 (1,075,000)102 1,094,880 
 U S TREASURY NOTE  0.250% 07/31/2025 DD 07/31/20 2,980,000 100 (2,974,701)
 U S TREASURY NOTE  0.125% 09/15/2023 DD 09/15/20 2,195,000 100 (2,194,391)
 U S TREASURY NOTE  0.375% 11/30/2025 DD 11/30/20 (200,000)100 200,182 
 IGT INVESCO SHORT TERM BOND115,540,388 115,540,338 
 INTEREST BEARING CASHTEMPORARY INVESTMENTS4,523,192 4,523,192 
TOTAL UNDERLYING ASSETS$358,895,603 361,183,059 
ADJUSTMENT FROM MARKET TO CONTRACT VALUE(13,735,255)
CONTRACT VALUE$347,447,804 
24


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN                
PLAN SPONSOR: THE DOW CHEMICAL COMPANY                
EMPLOYER IDENTIFICATION NO. 38-1285128                
PLAN NO. 002                
APPENDIX D - UNDERLYING ASSETS FOR PRUDENTIAL INSURANCE GA-62233                
December 31, 2020
(c)
(b)Face Value (e)
Identity of Issue, Borrower,or Number (d) Current
(a)Lessor or Similar Partyof Shares Cost Value
3M CO2.650% 04/15/2025 DD 03/27/20355,000 $354,712 $385,559 
ABBVIE INC4.250% 11/14/2028 DD 09/18/18565,000 560,169 677,384 
ABBVIE INC2.950% 11/21/2026 DD 05/21/201,115,000 1,130,256 1,233,023 
ABBVIE INC3.200% 11/21/2029 DD 05/21/20385,000 423,959 431,470 
AIG GLOBAL FUNDING 144A0.800% 07/07/2023 DD 07/07/20345,000 344,734 348,402 
ALLY AUTO RECEIVABLES TRU 1 A32.350% 06/15/2022 DD 01/31/1844,821 44,979 44,943 
ALLY AUTO RECEIVABLES TRU 4 A31.840% 06/17/2024 DD 12/11/19155,000 157,985 157,322 
ALTRIA GROUP INC2.350% 05/06/2025 DD 05/06/20520,000 519,782 552,495 
AMAZON.COM INC1.200% 06/03/2027 DD 06/03/20135,000 134,955 137,719 
AMERICAN ELECTRIC POWER CO INC3.650% 12/01/2021 DD 11/30/18395,000 394,755 407,198 
AMERICAN ELECTRIC POWER CO INC1.000% 11/01/2025 DD 11/20/20590,000 588,637 597,021 
AMERICAN EXPRESS CO2.500% 08/01/2022 DD 08/01/17985,000 984,222 1,016,293 
AMERICAN HONDA FINANCE CORP2.050% 01/10/2023 DD 09/10/19905,000 904,665 935,851 
AMERICAN HONDA FINANCE CORP0.650% 09/08/2023 DD 09/10/20355,000 354,844 357,244 
AMERICAN INTERNATIONAL GROUP I3.900% 04/01/2026 DD 03/22/16435,000 434,783 496,026 
AMERICAN TOWER CORP1.875% 10/15/2030 DD 09/28/201,175,000 1,169,760 1,185,246 
AMGEN INC2.200% 02/21/2027 DD 02/21/201,070,000 1,094,085 1,147,051 
ANHEUSER-BUSCH COS LLC / ANHEU3.650% 02/01/2026 DD 02/01/19915,000 931,527 1,034,289 
ANHEUSER-BUSCH INBEV 4.150% 01/23/2025 DD 01/23/19185,000 184,815 210,658 
ANTHEM INC2.375% 01/15/2025 DD 09/09/19285,000 292,983 304,822 
AON CORP2.200% 11/15/2022 DD 11/15/19935,000 934,813 966,388 
APPLE INC2.750% 01/13/2025 DD 11/13/17635,000 647,192 688,956 
ASTRAZENECA PLC3.500% 08/17/2023 DD 08/17/18520,000 518,300 560,139 
AT&T INC4.350% 03/01/2029 DD 02/19/19410,000 453,366 488,991 
AT&T INC1.650% 02/01/2028 DD 08/04/201,055,000 1,053,671 1,076,406 
AVALONBAY COMMUNITIES INC2.450% 01/15/2031 DD 05/22/20995,000 996,892 1,070,123 
BAE SYSTEMS PLC 144A4.750% 10/11/2021 DD 10/11/112,140,000 2,137,817 2,208,715 
BANK OF AMERICA CORP4.000% 01/22/2025 DD 01/22/15105,000 104,471 117,986 
BANK OF AMERICA CORP4.450% 03/03/2026 DD 03/03/161,120,000 1,156,962 1,305,416 
BANK OF AMERICA CORPVAR RT 10/01/2025 DD 09/18/171,145,000 1,145,395 1,239,485 
BANK OF AMERICA CORPVAR RT 12/20/2028 DD 12/20/17630,000 691,898 711,610 
BANK OF AMERICA CORPVAR RT 03/05/2029 DD 03/05/18370,000 428,286 432,008 
BANK OF AMERICA CORPVAR RT 07/23/2024 DD 07/23/181,825,000 1,918,962 1,978,665 
BANK OF AMERICA CORPVAR RT 07/23/2030 DD 07/23/19260,000 260,000 291,379 
BANK OF NEW YORK MELLON CORP/T2.100% 10/24/2024 DD 10/24/191,050,000 1,048,163 1,115,142 
BANK OF THE WEST AUT 1 A2 144A2.400% 10/17/2022 DD 06/26/1989,874 89,839 90,154 
BAT CAPITAL CORP2.259% 03/25/2028 DD 09/25/201,290,000 1,290,000 1,339,085 
BERKSHIRE HATHAWAY ENERGY 144A4.050% 04/15/2025 DD 03/24/20595,000 594,232 673,701 
BERKSHIRE HATHAWAY ENERGY 144A3.700% 07/15/2030 DD 03/27/201,460,000 1,498,181 1,726,976 
BG ENERGY CAPITAL PLC 144A4.000% 10/15/2021 DD 10/12/111,195,000 1,185,560 1,226,859 
BIOGEN INC3.625% 09/15/2022 DD 09/15/15295,000 294,764 311,004 
25


BMW US CAPITAL LLC 144A3.800% 04/06/2023 DD 04/09/20590,000 589,392 633,660 
BOEING CO/THE2.700% 02/01/2027 DD 07/31/19545,000 544,185 566,882 
BOEING CO/THE4.508% 05/01/2023 DD 05/04/20635,000 635,000 686,327 
BOSTON GAS CO 144A3.001% 08/01/2029 DD 07/29/19390,000 390,000 430,502 
BOSTON PROPERTIES LP3.400% 06/21/2029 DD 06/21/19565,000 563,955 630,687 
BP CAPITAL MARKETS AMERICA INC3.216% 11/28/2023 DD 11/28/18760,000 745,864 815,062 
BP CAPITAL MARKETS AMERICA INC3.194% 04/06/2025 DD 04/06/20825,000 825,000 907,492 
BRISTOL-MYERS SQUIBB CO3.200% 06/15/2026 DD 06/15/20440,000 438,803 495,057 
CAMDEN PROPERTY TRUST2.800% 05/15/2030 DD 04/20/20315,000 314,776 349,826 
CAPITAL ONE MULTI-ASSET A5 A5VAR RT 07/15/2027 DD 10/10/17995,000 999,746 1,005,408 
CARRIER GLOBAL CORP2.242% 02/15/2025 DD 08/15/20425,000 425,000 449,718 
CHEVRON CORP2.895% 03/03/2024 DD 03/03/17405,000 405,000 433,990 
CHEVRON CORP1.995% 05/11/2027 DD 05/11/20380,000 380,000 402,986 
CHEVRON USA INC1.018% 08/12/2027 DD 08/12/20465,000 465,000 467,283 
CITIBANK CREDIT CARD ISS A5 A5VAR RT 04/22/2026 DD 05/02/172,025,000 2,040,005 2,046,445 
CITIBANK CREDIT CARD ISS A6 A6VAR RT 05/14/2029 DD 05/22/172,780,000 2,774,793 2,783,586 
CITIGROUP INC3.400% 05/01/2026 DD 05/02/161,200,000 1,190,107 1,350,696 
CITIGROUP INCVAR RT 01/24/2023 DD 01/24/181,345,000 1,345,000 1,383,050 
CITIGROUP INCVAR RT 03/31/2031 DD 03/31/201,020,000 1,020,000 1,236,913 
COCA-COLA CO/THE1.450% 06/01/2027 DD 05/01/20260,000 259,685 268,562 
COMCAST CORP3.600% 03/01/2024 DD 02/26/14100,000 107,005 110,019 
COMCAST CORP3.000% 02/01/2024 DD 01/10/172,005,000 2,001,170 2,156,879 
COMCAST CORP3.300% 04/01/2027 DD 03/27/20900,000 897,597 1,023,390 
COMCAST CORP1.500% 02/15/2031 DD 08/25/201,665,000 1,659,389 1,653,728 
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2051 DD 03/01/217,320,000 7,553,325 7,579,055 
CREDIT SUISSE GROUP AG 144AVAR RT 06/12/2024 DD 06/12/18660,000 660,000 715,057 
CVS HEALTH CORP3.875% 07/20/2025 DD 07/20/15645,000 693,577 730,469 
CVS HEALTH CORP4.780% 03/25/2038 DD 03/09/18205,000 201,355 259,731 
CVS HEALTH CORP3.625% 04/01/2027 DD 03/31/20565,000 571,898 642,959 
CVS HEALTH CORP3.750% 04/01/2030 DD 03/31/20410,000 409,086 477,146 
CVS HEALTH CORP1.300% 08/21/2027 DD 08/21/20845,000 841,791 848,921 
DAIMLER FINANCE NORTH AME 144A3.350% 05/04/2021 DD 05/04/18875,000 873,985 883,391 
DAIMLER FINANCE NORTH AME 144A2.700% 06/14/2024 DD 08/15/19470,000 469,187 503,206 
DISCOVER CARD EXECUTION A2 A2VAR RT 08/15/2025 DD 03/14/181,970,000 1,971,231 1,977,525 
DISCOVER CARD EXECUTION A5 A5VAR RT 12/15/2026 DD 06/30/171,505,000 1,509,532 1,520,201 
DOMINION ENERGY INC2.750% 01/15/2022 DD 01/12/17945,000 943,639 965,469 
DRIVE AUTO RECEIVABLES T 2 A2A0.850% 07/17/2023 DD 06/17/20235,337 235,332 235,820 
DRIVE AUTO RECEIVABLES TR 1 A21.990% 12/15/2022 DD 01/22/20143,667 143,428 143,976 
DTE ENERGY CO3.850% 12/01/2023 DD 11/25/13955,000 952,947 1,039,059 
DTE ENERGY COVAR RT 10/01/2024 DD 07/01/19655,000 654,784 697,889 
DTE ENERGY CO2.600% 06/15/2022 DD 06/13/19275,000 274,692 283,608 
DUKE ENERGY CORP0.900% 09/15/2025 DD 09/11/20960,000 959,530 962,294 
DUKE ENERGY FLORIDA LLC3.200% 01/15/2027 DD 01/06/17705,000 704,577 786,992 
DUPONT DE NEMOURS INC4.493% 11/15/2025 DD 11/28/181,600,000 1,826,128 1,867,760 
EQUINIX INC1.550% 03/15/2028 DD 10/07/201,040,000 1,039,054 1,057,181 
EQUINOR ASA2.875% 04/06/2025 DD 04/06/201,725,000 1,736,921 1,884,062 
EQUINOR ASA3.000% 04/06/2027 DD 04/06/201,220,000 1,238,392 1,358,287 
EQUINOR ASA3.700% 03/01/2024 DD 11/08/13315,000 329,625 346,131 
ERP OPERATING LP3.000% 07/01/2029 DD 06/26/19520,000 517,816 578,547 
26


EVERSOURCE ENERGY2.750% 03/15/2022 DD 03/10/172,025,000 2,045,716 2,078,420 
EXELON CORP3.950% 06/15/2025 DD 12/15/15890,000 899,273 1,006,759 
EXXON MOBIL CORP2.992% 03/19/2025 DD 03/19/202,560,000 2,593,866 2,801,920 
FEDERAL HOME LN MTG CORP STRIP0.000% 03/15/2031 DD 10/25/001,685,000 1,470,357 1,466,270 
FEDERAL HOME LN MTG CORP STRIP0.000% 07/15/2032 DD 02/20/02470,000 396,984 398,099 
FEDERAL HOME LN MTG CORP STRIP0.000% 07/15/2031 DD 02/20/02215,000 184,304 185,212 
FEDERAL NATL MTG ASSN STRIP0.000% 11/15/2030 DD 11/03/00160,000 139,808 140,390 
FHLMC POOL #QA-03265.000% 06/01/2049 DD 06/01/19161,607 172,768 178,428 
FHLMC POOL #QA-09773.500% 07/01/2049 DD 07/01/19— — — 
FHLMC POOL #QA-11204.000% 07/01/2049 DD 07/01/19178,667 186,930 190,568 
FHLMC POOL #QA-64863.500% 01/01/2050 DD 01/01/20112,574 116,813 118,783 
FHLMC POOL #ZN-62984.000% 05/01/2049 DD 05/01/1953,722 55,862 57,263 
FLORIDA POWER & LIGHT CO2.850% 04/01/2025 DD 03/27/20485,000 484,505 527,801 
FNMA POOL #0BK90725.000% 12/01/2048 DD 12/01/1888,182 93,804 97,554 
FNMA POOL #0BK98185.000% 09/01/2048 DD 08/01/1873,909 78,113 81,716 
FNMA POOL #0BL02123.820% 07/01/2027 DD 10/01/1879,646 86,982 91,003 
FNMA POOL #0BL07603.790% 12/01/2025 DD 12/01/18235,000 251,698 255,675 
FNMA POOL #0BL13004.200% 01/01/2029 DD 01/01/19525,000 590,707 613,993 
FNMA POOL #0BM56805.000% 03/01/2049 DD 03/01/1979,879 85,224 88,563 
FNMA POOL #0BM59845.000% 05/01/2049 DD 05/01/19253,879 270,739 280,687 
FNMA POOL #0BN07924.000% 09/01/2049 DD 09/01/1931,911 33,247 34,087 
FNMA POOL #0BN60914.000% 06/01/2049 DD 05/01/19385,977 402,893 412,215 
FNMA POOL #0BN62734.500% 04/01/2049 DD 04/01/1970,004 74,302 76,651 
FNMA POOL #0BN77443.500% 09/01/2049 DD 09/01/19— — — 
FNMA POOL #0BN79584.500% 08/01/2049 DD 08/01/19176,654 186,356 191,447 
FNMA POOL #0BO25613.500% 07/01/2049 DD 07/01/19344,655 356,448 364,090 
FNMA POOL #0BO89673.500% 01/01/2050 DD 01/01/20223,033 231,057 236,690 
FNMA POOL #0BO89684.000% 01/01/2050 DD 01/01/20— — — 
FNMA POOL #0BO90014.000% 02/01/2050 DD 01/01/2071,002 74,760 76,203 
FNMA POOL #0BP12003.500% 01/01/2050 DD 01/01/2086,218 89,343 91,078 
FNMA POOL #0CA17955.000% 05/01/2048 DD 05/01/18437,103 462,373 485,220 
FNMA POOL #0CA23175.000% 06/01/2048 DD 08/01/18221,307 233,807 246,035 
FNMA POOL #0CA70503.000% 09/01/2050 DD 08/01/202,242,505 2,373,201 2,372,077 
FORD CREDIT AUTO OWNER TR A A33.030% 11/15/2022 DD 05/22/1874,411 75,327 75,076 
FORD CREDIT AUTO OWNER TR B A41.870% 09/15/2022 DD 06/27/17119,046 119,647 119,382 
FOX CORP3.500% 04/08/2030 DD 04/07/20380,000 389,911 431,642 
GENERAL DYNAMICS CORP3.500% 04/01/2027 DD 03/25/201,265,000 1,274,131 1,455,256 
GILEAD SCIENCES INC3.250% 09/01/2022 DD 09/14/15280,000 279,605 292,407 
GLAXOSMITHKLINE CAPITAL PLC3.000% 06/01/2024 DD 03/25/19215,000 225,036 231,658 
GM FINANCIAL AUTOMOBILE 2 A2A0.710% 10/20/2022 DD 06/17/2078,320 78,315 78,570 
GM FINANCIAL CONSUMER AUT 1 A21.830% 01/17/2023 DD 01/15/20133,830 133,825 134,348 
GOLDMAN SACHS GROUP INC/THE5.250% 07/27/2021 DD 07/27/11265,000 264,413 272,441 
GOLDMAN SACHS GROUP INC/THE4.000% 03/03/2024 DD 03/03/14385,000 409,193 425,413 
GOLDMAN SACHS GROUP INC/THEVAR RT 07/24/2023 DD 07/24/171,000,000 1,000,000 1,038,640 
GOLDMAN SACHS GROUP INC/THE3.750% 02/25/2026 DD 02/25/161,105,000 1,086,091 1,255,225 
GUARDIAN LIFE GLOBAL FUND 144A1.100% 06/23/2025 DD 06/23/20380,000 379,650 385,426 
GUARDIAN LIFE GLOBAL FUND 144A0.875% 12/10/2025 DD 12/10/201,115,000 1,114,242 1,121,523 
HOME DEPOT INC/THE2.500% 04/15/2027 DD 03/30/20495,000 492,589 543,203 
HSBC HOLDINGS PLC4.300% 03/08/2026 DD 03/08/16745,000 748,184 858,359 
27


HSBC HOLDINGS PLCVAR RT 06/19/2029 DD 06/19/18625,000 625,000 739,406 
HSBC HOLDINGS PLCVAR RT 11/07/2025 DD 11/07/19200,000 209,434 212,984 
HSBC HOLDINGS PLC4.950% 03/31/2030 DD 03/31/20255,000 254,681 319,668 
HSBC HOLDINGS PLCVAR RT 04/18/2026 DD 08/18/201,300,000 1,300,000 1,329,588 
HYUNDAI AUTO RECEIVABLES B A31.940% 02/15/2024 DD 11/06/19115,000 115,319 117,113 
INTERCONTINENTAL EXCHANGE INC2.100% 06/15/2030 DD 05/26/201,655,000 1,643,250 1,732,961 
JPMORGAN CHASE & CO3.900% 07/15/2025 DD 07/21/15510,000 572,699 579,380 
JPMORGAN CHASE & CO2.700% 05/18/2023 DD 05/18/16870,000 861,163 914,675 
JPMORGAN CHASE & COVAR RT 07/23/2024 DD 07/23/182,550,000 2,550,000 2,766,138 
JPMORGAN CHASE & COVAR RT 12/05/2024 DD 12/05/18780,000 780,000 859,271 
JPMORGAN CHASE & COVAR RT 10/15/2030 DD 09/12/19245,000 264,279 266,396 
JPMORGAN CHASE & COVAR RT 05/13/2031 DD 05/13/20455,000 455,000 498,948 
KEURIG DR PEPPER INC4.417% 05/25/2025 DD 05/25/19250,000 250,000 288,235 
KEYCORP2.250% 04/06/2027 DD 02/06/201,655,000 1,672,844 1,765,620 
KIMBERLY-CLARK CORP3.100% 03/26/2030 DD 03/26/20215,000 214,834 247,590 
KINDER MORGAN ENERGY PARTNERS3.500% 03/01/2021 DD 02/24/14440,000 437,774 440,000 
KINDER MORGAN INC4.300% 06/01/2025 DD 11/26/14415,000 424,418 473,515 
LELAND STANFORD JUNIOR UNIVER1.289% 06/01/2027 DD 06/04/20485,000 486,186 497,890 
LOWE'S COS INC4.500% 04/15/2030 DD 03/26/20900,000 915,071 1,120,293 
LOWE'S COS INC1.300% 04/15/2028 DD 10/22/201,085,000 1,084,308 1,094,570 
MASTERCARD INC3.300% 03/26/2027 DD 03/26/20485,000 483,647 553,327 
MCDONALD'S CORP2.625% 09/01/2029 DD 08/12/19615,000 610,474 673,130 
MCDONALD'S CORP3.500% 07/01/2027 DD 03/27/201,775,000 1,806,821 2,036,156 
MCDONALD'S CORP3.600% 07/01/2030 DD 03/27/20330,000 385,800 386,777 
METROPOLITAN LIFE GLOBAL 144A0.950% 07/02/2025 DD 07/02/202,015,000 2,011,474 2,041,719 
MONDELEZ INTERNATIONAL INC2.750% 04/13/2030 DD 04/13/20405,000 412,242 444,840 
MORGAN STANLEY4.000% 07/23/2025 DD 07/23/15365,000 364,701 417,695 
MORGAN STANLEYVAR RT 01/23/2030 DD 01/23/19280,000 280,000 340,595 
MORGAN STANLEYVAR RT 07/22/2025 DD 07/23/19775,000 775,000 828,925 
MORGAN STANLEYVAR RT 04/01/2031 DD 03/31/202,230,000 2,230,000 2,593,713 
MORGAN STANLEY3.125% 01/23/2023 DD 01/23/18330,000 329,258 348,272 
MORGAN STANLEY3.875% 04/29/2024 DD 04/28/141,025,000 1,074,431 1,135,516 
MORGAN STANLEY3.125% 07/27/2026 DD 07/25/16140,000 139,048 156,488 
NATIONAL SECURITIES CLEAR 144A1.200% 04/23/2023 DD 04/23/201,195,000 1,193,877 1,218,852 
NAVIENT PRIVATE EDUC DA A 144A1.690% 05/15/2069 DD 06/11/20— — — 
NAVIENT PRIVATE EDUC FA A 144A1.220% 07/15/2069 DD 07/30/20210,418 210,402 212,480 
NAVIENT PRIVATE EDUC GA A 144A1.170% 09/16/2069 DD 09/16/20536,518 536,417 540,558 
NAVIENT PRIVATE EDUC HA A 144A1.310% 01/15/2069 DD 11/17/20550,000 549,953 555,594 
NAVIENT STUDENT LO 2A A1A 144A1.320% 08/26/2069 DD 10/22/20430,560 430,341 431,248 
NESTLE HOLDINGS INC 144A3.350% 09/24/2023 DD 09/24/18770,000 769,861 830,137 
NEW HAMPSHIRE HIGHER EDU 1 A1A1.550% 09/25/2060 DD 10/15/202,179,972 2,179,110 2,221,217 
NEW YORK LIFE GLOBAL FUND 144A2.900% 01/17/2024 DD 01/17/171,570,000 1,568,618 1,684,280 
NEW YORK LIFE GLOBAL FUND 144A1.100% 05/05/2023 DD 05/07/20680,000 679,857 691,859 
NIKE INC2.750% 03/27/2027 DD 03/27/20995,000 1,011,458 1,100,997 
NUTRITION & BIOSCIENCES I 144A1.832% 10/15/2027 DD 09/16/201,070,000 1,069,989 1,102,817 
NVIDIA CORP2.850% 04/01/2030 DD 03/31/20945,000 941,494 1,063,068 
ORACLE CORP2.950% 11/15/2024 DD 11/09/171,340,000 1,387,132 1,457,866 
OTIS WORLDWIDE CORP2.056% 04/05/2025 DD 02/27/20905,000 909,140 959,155 
28


PACIFIC LIFE GLOBAL FUNDI 144A1.200% 06/24/2025 DD 06/24/20665,000 663,524 674,097 
PARKER-HANNIFIN CORP2.700% 06/14/2024 DD 06/14/19300,000 299,862 321,747 
PAYPAL HOLDINGS INC1.650% 06/01/2025 DD 05/18/201,285,000 1,284,743 1,342,542 
PFIZER INC2.625% 04/01/2030 DD 03/27/20565,000 563,023 630,625 
PHILIP MORRIS INTERNATIONAL IN2.875% 05/01/2024 DD 05/01/191,185,000 1,178,447 1,272,785 
PHILLIPS 661.300% 02/15/2026 DD 11/18/20330,000 329,868 334,419 
PUBLIC SERVICE ENTERPRISE GROU2.650% 11/15/2022 DD 11/06/171,360,000 1,358,273 1,417,474 
PUBLIC SERVICE ENTERPRISE GROU1.600% 08/15/2030 DD 08/14/20880,000 878,381 867,662 
RECKITT BENCKISER TREASUR 144A2.750% 06/26/2024 DD 06/26/171,500,000 1,498,380 1,604,205 
REPUBLIC SERVICES INC2.500% 08/15/2024 DD 08/07/19500,000 499,200 533,940 
REPUBLIC SERVICES INC1.450% 02/15/2031 DD 08/20/201,345,000 1,338,504 1,316,352 
RESOLUTION FDG CORP PRIN STRIP0.000% 01/15/2030 DD 01/30/91338,000 295,976 300,631 
RESOLUTION FDG CORP PRIN STRIP0.000% 04/15/2030 DD 04/15/90925,000 813,433 821,872 
RESOLUTION FDG CORP STRIP0.000% 01/15/2030 DD 01/15/90660,000 579,821 587,030 
ROPER TECHNOLOGIES INC1.000% 09/15/2025 DD 09/01/20345,000 344,545 349,164 
SANTANDER DRIVE AUTO REC 2 A2A0.620% 05/15/2023 DD 07/22/20369,251 369,248 369,554 
SANTANDER DRIVE AUTO RECE 3 A20.460% 09/15/2023 DD 09/23/201,200,000 1,199,956 1,200,720 
SCHLUMBERGER FINANCE CANADA1.400% 09/17/2025 DD 09/18/20310,000 309,628 318,795 
SEMPRA ENERGY2.900% 02/01/2023 DD 01/12/18350,000 348,674 367,210 
SHELL INTERNATIONAL FINANCE BV2.375% 04/06/2025 DD 04/06/201,700,000 1,711,534 1,823,250 
SIMON PROPERTY GROUP LP2.750% 06/01/2023 DD 12/11/1710,000 9,982 10,511 
SIMON PROPERTY GROUP LP2.000% 09/13/2024 DD 09/13/19275,000 274,728 287,389 
SOUTHERN CO/THE2.950% 07/01/2023 DD 05/24/161,165,000 1,164,010 1,233,688 
STARBUCKS CORP1.300% 05/07/2022 DD 05/07/20440,000 439,705 446,156 
STATE STREET CORPVAR RT 03/30/2026 DD 09/30/20815,000 815,000 887,796 
TARGET CORP2.250% 04/15/2025 DD 03/31/20385,000 384,361 412,127 
THERMO FISHER SCIENTIFIC INC4.133% 03/25/2025 DD 03/25/20630,000 630,000 716,335 
TJX COS INC/THE3.750% 04/15/2027 DD 04/01/201,450,000 1,449,000 1,676,867 
TOYOTA AUTO RECEIVABLES 2 A A21.670% 11/15/2022 DD 02/12/2091,815 91,940 92,365 
TOYOTA AUTO RECEIVABLES 2 D A21.920% 07/15/2022 DD 11/13/1979,829 78,108 80,162 
TOYOTA MOTOR CREDIT CORP2.900% 03/30/2023 DD 04/01/201,155,000 1,154,873 1,221,875 
TRANSCANADA PIPELINES LTD4.625% 03/01/2034 DD 02/28/14305,000 303,621 372,716 
TRUIST FINANCIAL CORP2.750% 04/01/2022 DD 03/21/171,055,000 1,053,027 1,085,574 
TRUIST FINANCIAL CORP2.200% 03/16/2023 DD 09/16/19940,000 939,304 975,776 
TSMC GLOBAL LTD 144A1.375% 09/28/2030 DD 09/28/201,575,000 1,560,557 1,546,209 
U S TREASURY BOND1.375% 08/15/2050 DD 08/15/202,555,000 2,422,764 2,392,911 
U S TREASURY BOND1.625% 11/15/2050 DD 11/15/205,900,000 5,837,439 5,877,875 
U S TREASURY BOND1.375% 11/15/2040 DD 11/15/2010,070,000 9,993,399 9,956,713 
U S TREASURY NOTE2.750% 08/31/2025 DD 08/31/184,850,000 5,437,613 5,392,618 
U S TREASURY NOTE2.125% 05/15/2025 DD 05/15/151,420,000 1,549,353 1,532,606 
U S TREASURY NOTE0.125% 12/15/2023 DD 12/15/2060,980,000 60,841,155 60,908,653 
U S TREASURY NOTE0.625% 12/31/2027 DD 12/31/2037,860,000 37,769,499 37,818,733 
U S TREASURY NOTE0.375% 12/31/2025 DD 12/31/2045,280,000 45,287,551 45,315,318 
UNILEVER CAPITAL CORP2.600% 05/05/2024 DD 05/05/17495,000 509,825 527,502 
UNION PACIFIC CORP3.950% 09/10/2028 DD 06/08/18530,000 533,201 629,216 
UNITED PARCEL SERVICE INC3.900% 04/01/2025 DD 03/24/20905,000 904,050 1,022,460 
UNIV OF CALIFORNIA CA REVENUES0.883% 05/15/2025 DD 07/16/20310,000 310,000 314,436 
UNIV OF CALIFORNIA CA REVENUES1.316% 05/15/2027 DD 07/16/20250,000 250,000 253,998 
US BANCORP2.400% 07/30/2024 DD 07/29/191,450,000 1,448,579 1,545,686 
29


USAA CAPITAL CORP 144A2.125% 05/01/2030 DD 04/21/20250,000 249,280 262,873 
VERIZON COMMUNICATIONS INC4.500% 08/10/2033 DD 08/10/17690,000 688,054 870,649 
VERIZON COMMUNICATIONS INC1.750% 01/20/2031 DD 11/20/202,345,000 2,334,330 2,333,275 
VERIZON OWNER TRUST 2019 C A1A1.940% 04/22/2024 DD 10/08/191,090,000 1,089,916 1,113,381 
VIATRIS INC 144A2.300% 06/22/2027 DD 06/22/20565,000 579,383 601,510 
VISA INC1.900% 04/15/2027 DD 04/02/20535,000 533,491 569,411 
VOLKSWAGEN GROUP OF AMERI 144A2.900% 05/13/2022 DD 05/13/201,065,000 1,064,425 1,098,654 
VOLKSWAGEN GROUP OF AMERI 144A0.875% 11/22/2023 DD 11/24/20865,000 863,703 869,870 
WALGREENS BOOTS ALLIANCE INC3.300% 11/18/2021 DD 11/18/14335,000 334,085 341,968 
WALMART INC3.050% 07/08/2026 DD 04/23/19745,000 785,624 838,728 
WALT DISNEY CO/THE3.350% 03/24/2025 DD 03/23/201,640,000 1,674,450 1,818,088 
WELLS FARGO & CO3.000% 04/22/2026 DD 04/22/16475,000 510,658 522,785 
WELLS FARGO & COVAR RT 06/17/2027 DD 06/17/19790,000 790,000 876,078 
WELLS FARGO & COVAR RT 10/30/2025 DD 10/31/191,640,000 1,640,000 1,734,087 
WELLS FARGO & COVAR RT 04/04/2031 DD 03/30/201,265,000 1,265,000 1,546,526 
WELLS FARGO & COVAR RT 04/30/2026 DD 04/30/201,345,000 1,345,000 1,416,137 
YALE UNIVERSITY0.873% 04/15/2025 DD 06/09/20495,000 495,000 502,816 
US LONG BOND FUTURE (CBT)EXP MAR 21(169)— 102,159 
US ULTRA BOND FUTURE (CBT)EXP MAR 21(8)— 19,500 
US 10YR ULTRA FUTURE (CBT)EXP MAR 21(93)— 50,461 
US 10YR NOTE FUTURE (CBT)EXP MAR 21307 — (9,594)
US 5YR NOTE FUTURE (CBT)EXP MAR 21(87)— (23,119)
COMMIT TO PUR FNMA SF MTG1.500% 01/01/2051 DD 01/01/219,365,000 100 (9,377,389)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/213,660,000 103 (3,757,575)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/216,385,000 103 (6,588,644)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/213,320,000 103 (3,423,813)
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/217,300,000 103 (7,531,895)
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/2113,365,000 103 (13,779,640)
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/213,695,000 103 (3,811,511)
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2051 DD 03/01/2120,715,000 103 (21,386,799)
COMMIT TO PUR FNMA SF MTG1.500% 01/01/2051 DD 01/01/21(3,740,000)101 3,766,423 
COMMIT TO PUR FNMA SF MTG1.500% 01/01/2051 DD 01/01/21(1,925,000)100 1,935,066 
COMMIT TO PUR FNMA SF MTG1.500% 01/01/2051 DD 01/01/21(3,700,000)101 3,724,551 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21(13,365,000)103 13,810,581 
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/21(3,645,000)103 3,763,779 
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/21(20,715,000)103 21,428,876 
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2051 DD 03/01/21(3,660,000)103 3,783,843 
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2051 DD 03/01/21(7,330,000)103 7,569,589 
COMMIT TO PUR FNMA SF MTG2.000% 03/01/2051 DD 03/01/21(2,405,000)103 2,486,378 
FNMA POOL #0BO89684.000% 01/01/2050 DD 01/01/20(116,252)107 124,757 
U S TREASURY NOTE0.125% 12/15/2023 DD 12/15/208,350,000 100 (8,329,705)
U S TREASURY NOTE0.375% 12/31/2025 DD 12/31/201,355,000 100 (1,355,744)
U S TREASURY NOTE2.875% 10/31/2023 DD 10/31/18(8,330,000)108 8,999,704 
INTEREST BEARING CASHTEMPORARY INVESTMENTS20,623,871 20,623,871 
TOTAL UNDERLYING ASSETS$376,208,969 379,286,367 
ADJUSTMENT FROM MARKET TO CONTRACT VALUE(31,721,219)
CONTRACT VALUE$347,565,148 
30


THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN                    
PLAN SPONSOR: THE DOW CHEMICAL COMPANY                    
EMPLOYER IDENTIFICATION NO. 38-1285128                    
PLAN NO. 002                    
APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036    
December 31, 2020    
(c)
(b)Face Value (e)
Identity of Issue, Borrower,or Number (d) Current
(a)Lessor or Similar Partyof Shares Cost Value
ABBVIE INC2.300% 11/21/2022 DD 05/21/20405,000 $404,582 $419,718 
ADOBE INC1.900% 02/01/2025 DD 02/03/20560,000 558,807 592,200 
AEP TEXAS INC2.400% 10/01/2022 DD 09/22/17365,000 366,668 376,501 
AIG GLOBAL FUNDING 144A3.350% 06/25/2021 DD 06/27/18315,000 314,981 319,608 
AIR LIQUIDE FINANCE SA 144A1.750% 09/27/2021 DD 09/27/161,000,000 972,810 1,009,430 
ALLY FINANCIAL INC1.450% 10/02/2023 DD 09/18/20500,000 496,870 510,410 
AMAZON.COM INC2.500% 11/29/2022 DD 11/29/12360,000 364,111 373,867 
AMERICAN HONDA FINANCE CORP1.200% 07/08/2025 DD 07/08/20490,000 489,882 501,442 
APPLE INC1.550% 08/04/2021 DD 08/04/16895,000 879,490 901,390 
APPLE INC0.750% 05/11/2023 DD 05/11/20395,000 393,926 399,712 
AT&T INCVAR RT 12/15/2023 DD 06/05/19345,000 366,835 381,708 
BANK OF AMERICA CORP5.700% 01/24/2022 DD 01/24/12620,000 702,212 655,253 
BANK OF AMERICA CORPVAR RT 05/17/2022 DD 05/17/18140,000 140,000 141,659 
BANK OF AMERICA CORPVAR RT 07/23/2024 DD 07/23/18265,000 278,995 287,313 
BANK OF AMERICA CORPVAR RT 05/19/2024 DD 05/19/20490,000 490,000 501,461 
BANK OF MONTREAL1.850% 05/01/2025 DD 04/27/20330,000 329,749 346,444 
BANK OF NEW YORK MELLON CORP/T1.850% 01/27/2023 DD 01/28/20440,000 439,692 453,750 
BANK OF NOVA SCOTIA/THE1.300% 06/11/2025 DD 06/11/20420,000 419,068 430,941 
BARCLAYS BANK PLC1.700% 05/12/2022 DD 05/12/20385,000 384,684 391,811 
BARCLAYS PLCVAR RT 02/15/2023 DD 11/15/18200,000 199,962 208,786 
BERKSHIRE HATHAWAY ENERGY CO2.800% 01/15/2023 DD 01/05/18850,000 833,612 890,579 
BOOKING HOLDINGS INC2.750% 03/15/2023 DD 08/15/17450,000 456,741 471,983 
BRISTOL-MYERS SQUIBB CO2.600% 05/16/2022 DD 05/16/20430,000 428,843 443,687 
BROADCOM INC2.250% 11/15/2023 DD 05/08/20485,000 484,952 506,524 
BROADCOM INC3.125% 10/15/2022 DD 04/15/20160,000 159,269 167,451 
CANADIAN IMPERIAL BANK2.250% 01/28/2025 DD 01/28/20440,000 439,960 467,377 
CARMAX AUTO OWNER TRUST 2 2 A31.700% 11/15/2024 DD 04/29/20370,000 369,960 377,222 
CARMAX AUTO OWNER TRUST 2 3 A32.180% 08/15/2024 DD 07/30/19540,000 541,181 553,441 
CARMAX AUTO OWNER TRUST 2 3 A40.770% 03/16/2026 DD 07/22/20395,000 394,863 398,306 
CATERPILLAR FINANCIAL SERVICES2.150% 11/08/2024 DD 11/08/19500,000 501,110 532,630 
CHARLES SCHWAB CORP/THE4.200% 03/24/2025 DD 03/24/20540,000 619,650 619,088 
CHEVRON CORP3.191% 06/24/2023 DD 06/24/13210,000 217,484 223,348 
CISCO SYSTEMS INC/DELAWARE2.200% 02/28/2021 DD 02/29/161,000,000 1,009,610 1,003,110 
CITIBANK NA3.400% 07/23/2021 DD 07/23/18300,000 299,880 304,419 
CITIGROUP INC3.300% 04/27/2025 DD 04/27/15575,000 633,874 637,652 
CITIGROUP INCVAR RT 05/15/2024 DD 05/14/20185,000 185,000 190,570 
CITIGROUP INCVAR RT 10/30/2024 DD 10/30/20455,000 455,000 457,953 
CNA FINANCIAL CORP3.950% 05/15/2024 DD 02/27/14395,000 422,046 436,704 
COMCAST CORP3.100% 04/01/2025 DD 03/27/20200,000 199,898 220,062 
COMM 2013-CCRE8 MORTGAG CR8 A43.334% 06/10/2046 DD 06/01/13209,088 209,532 220,412 
COMM 2014-CCRE20 MORTG CR20 A33.326% 11/10/2047 DD 10/01/14590,000 630,678 629,347 
31


CONNECTICUT LIGHT AND POWER CO2.500% 01/15/2023 DD 01/15/131,050,000 1,022,343 1,090,268 
CREDIT SUISSE AG/NEW YORK NY2.800% 04/08/2022 DD 04/09/20260,000 259,990 268,411 
CREDIT SUISSE GROUP AG 144AVAR RT 09/11/2025 DD 09/11/19250,000 250,000 263,068 
CUMMINS INC0.750% 09/01/2025 DD 08/24/20570,000 568,963 574,127 
CVS HEALTH CORP3.700% 03/09/2023 DD 03/09/1873,000 72,346 78,097 
DEERE & CO2.750% 04/15/2025 DD 03/30/20505,000 549,420 550,405 
DELL INTERNATIONAL LLC / 144A4.000% 07/15/2024 DD 03/20/19320,000 318,589 352,842 
DOLLAR TREE INC3.700% 05/15/2023 DD 04/19/18100,000 99,814 107,046 
DUKE ENERGY CAROLINAS LLC3.900% 06/15/2021 DD 05/19/111,000,000 1,031,000 1,006,960 
DUKE ENERGY CORP0.900% 09/15/2025 DD 09/11/20590,000 589,711 591,410 
EQUINIX INC1.250% 07/15/2025 DD 06/22/20390,000 389,103 397,851 
EQUITABLE FINANCIAL LIFE 144A0.500% 11/17/2023 DD 11/17/20570,000 569,202 570,331 
EQUITABLE HOLDINGS INC3.900% 04/20/2023 DD 10/20/18435,000 434,356 468,008 
ESTEE LAUDER COS INC/THE1.700% 05/10/2021 DD 05/10/16975,000 965,644 978,656 
EXPEDIA GROUP INC 144A6.250% 05/01/2025 DD 05/05/2065,000 65,000 75,342 
FHLMC POOL #QB-19742.000% 08/01/2050 DD 07/01/20402,969 419,592 418,637 
FHLMC POOL #QB-51462.000% 11/01/2050 DD 10/01/2079,826 82,807 82,930 
FHLMC MULTICLASS MTG 4958 DL4.000% 01/25/2050 DD 02/01/20513,342 549,978 546,406 
FHLMC MULTICLASS MTG 4993 D2.000% 09/25/2047 DD 06/01/20310,000 321,007 320,788 
FIRST HORIZON CORP3.550% 05/26/2023 DD 05/26/20295,000 294,900 313,432 
FIRST REPUBLIC BANK/CAVAR RT 02/12/2024 DD 02/12/20475,000 475,000 488,789 
FISERV INC2.750% 07/01/2024 DD 06/24/19160,000 159,731 171,806 
FNMA POOL #0AM80982.680% 05/01/2025 DD 05/01/15310,000 335,720 334,558 
FNMA POOL #0BM44165.000% 10/01/2048 DD 08/01/18176,852 188,872 205,281 
FNMA POOL #0FM22922.500% 02/01/2035 DD 01/01/20320,811 326,877 335,001 
FNMA POOL #0FM39632.500% 09/01/2050 DD 08/01/20435,454 461,037 460,962 
FNMA POOL #0FM49592.000% 12/01/2050 DD 11/01/2079,881 83,076 82,987 
FNMA POOL #0MA40192.500% 05/01/2050 DD 04/01/20430,100 446,834 453,786 
FNMA GTD REMIC P/T 13-24 PA1.750% 03/25/2033 DD 02/01/13360,964 373,725 373,992 
FNMA GTD REMIC P/T 20-10 LP3.500% 03/25/2050 DD 02/01/20227,344 238,995 238,256 
FNMA GTD REMIC P/T 20-63 B1.250% 09/25/2050 DD 08/01/20212,947 214,544 215,113 
FORD CREDIT FLOORPLAN MAST 4 A2.440% 09/15/2026 DD 09/20/19105,000 96,567 112,162 
GB TRUST 2020-FLIX FLIX A 144AVAR RT 08/15/2037 DD 08/17/20380,000 380,000 380,517 
GENERAL MOTORS CO5.400% 10/02/2023 DD 05/12/20145,000 144,849 162,362 
GENERAL MOTORS FINANCIAL CO IN5.200% 03/20/2023 DD 05/15/20110,000 109,951 120,614 
GEORGIA POWER CO2.100% 07/30/2023 DD 01/10/20500,000 499,895 522,250 
GNMA GTD REMIC P/T 14-38 PJ3.000% 04/20/2043 DD 03/01/14114,592 116,078 116,925 
GOLDMAN SACHS GROUP INC/THEVAR RT 05/15/2026 DD 05/17/18320,000 320,000 326,262 
GREAT-WEST LIFECO US FINA 144A0.904% 08/12/2025 DD 08/12/20635,000 635,000 637,794 
GS MORTGAGE SECURI BOCA A 144AVAR RT 06/15/2038 DD 06/26/19350,000 350,000 347,365 
HAWAII HOTEL TRUST MAUI A 144AVAR RT 05/15/2038 DD 05/24/19145,000 143,964 143,727 
HEALTH CARE SERVICE CORP 144A1.500% 06/01/2025 DD 06/01/20495,000 493,837 508,073 
HOME DEPOT INC/THE2.625% 06/01/2022 DD 06/02/15625,000 637,338 644,513 
HONEYWELL INTERNATIONAL INC1.850% 11/01/2021 DD 10/31/16640,000 639,968 647,578 
HUNTINGTON NATIONAL BANK/THE1.800% 02/03/2023 DD 02/04/20525,000 524,559 539,417 
INFOR INC 144A1.450% 07/15/2023 DD 06/05/20300,000 299,907 304,848 
INTERCONTINENTAL EXCHANGE INC0.700% 06/15/2023 DD 08/20/20570,000 569,447 574,599 
INTUIT INC0.650% 07/15/2023 DD 06/29/20495,000 494,881 499,143 
JACKSON NATIONAL LIFE GLO 144AVAR RT 06/11/2021 DD 06/11/18305,000 305,000 305,589 
32


JPMORGAN CHASE & COVAR RT 06/01/2024 DD 05/27/20350,000 350,000 359,345 
KINDER MORGAN ENERGY PARTNERS4.150% 02/01/2024 DD 08/05/13295,000 311,665 322,984 
LABORATORY CORP OF AMERICA2.300% 12/01/2024 DD 11/25/19315,000 314,272 334,259 
LLOYDS BANKING GROUP PLC4.050% 08/16/2023 DD 08/16/18360,000 359,903 393,401 
MARATHON PETROLEUM CORP5.125% 03/01/2021 DD 09/01/11575,000 628,538 579,065 
MARATHON PETROLEUM CORP4.500% 05/01/2023 DD 04/27/20195,000 194,885 211,737 
MARATHON PETROLEUM CORP4.700% 05/01/2025 DD 04/27/20210,000 209,591 240,568 
MARSH & MCLENNAN COS INC3.875% 03/15/2024 DD 01/15/19200,000 221,078 220,592 
MCCORMICK & CO INC/MD2.700% 08/15/2022 DD 08/11/17565,000 564,944 584,922 
MERCK & CO INC0.750% 02/24/2026 DD 06/24/20445,000 442,762 450,024 
METROPOLITAN LIFE GLOBAL 144A1.950% 09/15/2021 DD 09/15/16375,000 359,603 379,440 
METROPOLITAN LIFE GLOBAL 144A1.950% 01/13/2023 DD 01/13/20450,000 449,807 464,283 
MONDELEZ INTERNATIONAL HO 144A2.125% 09/19/2022 DD 09/19/19275,000 274,929 282,879 
MORGAN STANLEYVAR RT 01/20/2023 DD 01/22/20385,000 385,000 386,236 
MORGAN STANLEY CAPITAL UBS8 A43.809% 12/15/2048 DD 12/01/15265,000 293,280 296,456 
NATIONAL SECURITIES CLEAR 144A1.200% 04/23/2023 DD 04/23/20415,000 414,610 423,283 
NATIONAL SECURITIES CLEAR 144A0.750% 12/07/2025 DD 12/07/20250,000 249,193 250,640 
NATWEST GROUP PLCVAR RT 05/22/2024 DD 05/22/20550,000 550,000 572,297 
NESTLE HOLDINGS INC 144A0.375% 01/15/2024 DD 09/15/20630,000 628,482 630,636 
NORDEA BANK ABP 144A1.000% 06/09/2023 DD 06/09/20365,000 364,624 370,752 
NORDEA BANK ABP 144A0.750% 08/28/2025 DD 08/28/20250,000 248,670 249,818 
NXP BV / NXP FUNDING LLC 144A2.700% 05/01/2025 DD 05/01/20175,000 174,853 188,353 
ORACLE CORP2.500% 04/01/2025 DD 04/01/20570,000 606,902 612,613 
PANASONIC CORP 144A2.536% 07/19/2022 DD 07/19/19375,000 375,000 385,485 
PARKER-HANNIFIN CORP2.700% 06/14/2024 DD 06/14/19195,000 194,910 209,136 
PEPSICO INC0.750% 05/01/2023 DD 05/01/20295,000 294,416 299,207 
PEPSICO INC0.400% 10/07/2023 DD 10/07/20310,000 309,823 311,708 
PHILIP MORRIS INTERNATIONAL IN1.125% 05/01/2023 DD 05/01/20295,000 294,012 300,826 
PNC BANK NA2.625% 02/17/2022 DD 02/17/17600,000 604,362 614,580 
PRICOA GLOBAL FUNDING I 144A2.450% 09/21/2022 DD 09/21/17480,000 479,506 497,275 
PROCTER & GAMBLE CO/THE0.550% 10/29/2025 DD 10/29/20550,000 549,109 554,868 
PSNH FUNDING LLC 3 1 A13.094% 02/01/2026 DD 05/08/18208,247 208,242 216,810 
PUBLIC SERVICE ELECTRIC AND GA1.900% 03/15/2021 DD 03/03/161,200,000 1,219,320 1,202,100 
RALPH LAUREN CORP1.700% 06/15/2022 DD 06/03/20165,000 164,802 168,001 
RELIANCE STANDARD LIFE GL 144A2.500% 10/30/2024 DD 10/30/19410,000 409,311 425,248 
RELIANCE STANDARD LIFE GL 144A2.150% 01/21/2023 DD 01/21/20320,000 319,731 328,051 
REPUBLIC SERVICES INC0.875% 11/15/2025 DD 11/24/20515,000 514,475 518,919 
ROCKWELL COLLINS INC2.800% 03/15/2022 DD 04/10/17190,000 192,556 195,404 
SALESFORCE.COM INC3.250% 04/11/2023 DD 04/11/18325,000 324,805 346,226 
SAN DIEGO GAS & ELECTRIC CO3.000% 08/15/2021 DD 08/18/111,250,000 1,294,975 1,270,588 
SIEMENS FINANCIERINGSMAAT 144A2.700% 03/16/2022 DD 03/16/17770,000 768,252 790,759 
SPRINT SPECTRUM CO LLC / 144AVAR RT 03/20/2023 DD 10/27/16206,250 207,786 208,189 
SPRINT SPECTRUM CO LLC / 144A4.738% 09/20/2029 DD 03/21/18105,000 114,713 113,724 
SWEDBANK AB 144A0.600% 09/25/2023 DD 09/25/20505,000 504,939 505,990 
SYNCHRONY CREDIT CARD MAST 2 A3.470% 05/15/2026 DD 06/01/18295,000 313,921 314,989 
TJX COS INC/THE2.750% 06/15/2021 DD 06/05/14450,000 472,401 453,119 
TOYOTA MOTOR CORP3.183% 07/20/2021 DD 07/20/18330,000 330,000 335,204 
TRUIST FINANCIAL CORP2.750% 04/01/2022 DD 03/21/17815,000 806,043 838,619 
U S TREASURY NOTE2.750% 04/30/2023 DD 04/30/185,660,000 5,691,728 6,002,260 
33


U S TREASURY NOTE2.875% 10/31/2023 DD 10/31/188,318,000 8,713,482 8,954,493 
U S TREASURY NOTE2.500% 01/31/2024 DD 01/31/198,895,000 8,944,435 9,530,192 
U S TREASURY NOTE2.250% 04/30/2024 DD 04/30/194,840,000 5,044,755 5,169,749 
U S TREASURY NOTE1.750% 09/30/2022 DD 09/30/151,310,000 1,285,327 1,346,994 
U S TREASURY NOTE1.625% 08/15/2022 DD 08/15/121,880,000 1,808,986 1,925,684 
U S TREASURY NOTE2.750% 07/31/2023 DD 07/31/182,610,000 2,596,814 2,784,740 
U S TREASURY NOTE0.125% 10/15/2023 DD 10/15/203,090,000 3,085,483 3,087,837 
U S TREASURY NOTE0.125% 10/31/2022 DD 10/31/20625,000 624,707 625,100 
U S TREASURY NOTE0.250% 10/31/2025 DD 10/31/2011,740,000 11,662,234 11,689,555 
U S TREASURY NOTE0.500% 10/31/2027 DD 10/31/208,905,000 8,832,920 8,835,452 
UBS AG/LONDON 144A1.750% 04/21/2022 DD 04/21/20350,000 349,542 356,227 
UNILEVER CAPITAL CORP0.375% 09/14/2023 DD 09/14/20600,000 599,232 601,890 
US BANK NA/CINCINNATI OH2.050% 01/21/2025 DD 01/21/20640,000 638,637 677,261 
USAA CAPITAL CORP 144A1.500% 05/01/2023 DD 04/21/20310,000 309,616 317,983 
VALERO ENERGY CORP2.700% 04/15/2023 DD 04/16/20535,000 534,406 558,331 
VERIZON OWNER TRUST 2020 A A1A1.850% 07/22/2024 DD 01/29/20425,000 424,950 435,204 
VERIZON OWNER TRUST 2020-C C A0.410% 04/21/2025 DD 11/02/20645,000 644,895 646,193 
VOLKSWAGEN AUTO LEASE TRU A A31.990% 11/21/2022 DD 10/04/19310,000 309,995 314,610 
WALMART INC3.125% 06/23/2021 DD 06/27/18290,000 289,986 293,976 
WALT DISNEY CO/THE1.750% 01/13/2026 DD 05/13/20400,000 398,964 419,312 
WEIBO CORP3.500% 07/05/2024 DD 07/05/19200,000 200,000 208,880 
WELLS FARGO & CO3.500% 03/08/2022 DD 03/08/12750,000 778,013 777,570 
WELLS FARGO & COVAR RT 06/02/2024 DD 06/02/20285,000 285,000 292,946 
WILLIS NORTH AMERICA INC3.600% 05/15/2024 DD 05/16/17529,000 578,181 577,620 
WORLD FINANCIAL NETWORK CR C A2.210% 07/15/2026 DD 09/18/19600,000 605,439 618,546 
WORLD OMNI AUTO RECEIVABL D A43.440% 12/16/2024 DD 10/17/18485,000 492,351 510,220 
WORLD OMNI AUTOMOBILE LEA B A32.030% 11/15/2022 DD 08/21/19155,000 153,365 157,620 
ABBVIE INC2.300% 11/21/2022 DD 05/21/20535,000 534,476 554,474 
ABBVIE INC3.200% 11/21/2029 DD 05/21/20155,000 154,961 173,709 
ABBVIE INC2.600% 11/21/2024 DD 05/21/20380,000 379,662 407,284 
ABBVIE INC3.450% 03/15/2022 DD 09/15/20235,000 244,407 242,356 
AIR PRODUCTS AND CHEMICALS INC1.850% 05/15/2027 DD 04/30/2050,000 49,951 52,926 
AIR PRODUCTS AND CHEMICALS INC1.500% 10/15/2025 DD 04/30/2025,000 24,995 26,058 
ALTRIA GROUP INC2.625% 09/16/2026 DD 09/16/16130,000 114,148 140,332 
ALTRIA GROUP INC4.400% 02/14/2026 DD 02/14/1970,000 69,854 81,275 
ALTRIA GROUP INC4.800% 02/14/2029 DD 02/14/1955,000 56,319 65,896 
ALTRIA GROUP INC2.350% 05/06/2025 DD 05/06/2095,000 94,960 100,937 
AMERICAN ELECTRIC POWER CO INC1.000% 11/01/2025 DD 11/20/20355,000 354,180 359,225 
AMERICAN EXPRESS CO3.700% 11/05/2021 DD 11/06/18190,000 189,958 194,855 
AMERICAN EXPRESS CO4.200% 11/06/2025 DD 11/06/1890,000 89,800 104,495 
AMERICAN INTERNATIONAL GROUP I2.500% 06/30/2025 DD 05/11/20350,000 349,622 376,250 
AMERICAN TOWER CORP2.400% 03/15/2025 DD 01/10/20115,000 114,891 122,240 
AMERICAN TOWER CORP1.500% 01/31/2028 DD 11/20/20355,000 354,897 357,219 
AMERICAN WATER CAPITAL CORP3.450% 06/01/2029 DD 05/13/19330,000 349,889 379,853 
AMERICAN WATER CAPITAL CORP2.800% 05/01/2030 DD 04/14/2045,000 45,036 49,675 
AMERICREDIT AUTOMOBILE RE 2 A33.150% 03/20/2023 DD 08/15/1897,592 97,576 98,432 
AMGEN INC2.200% 02/21/2027 DD 02/21/20100,000 99,787 107,201 
AMGEN INC2.450% 02/21/2030 DD 02/21/20140,000 139,951 149,915 
ANHEUSER-BUSCH COS LLC / ANHEU3.650% 02/01/2026 DD 02/01/19510,000 482,934 576,489 
34


ANHEUSER-BUSCH INBEV4.150% 01/23/2025 DD 01/23/1910,000 10,936 11,387 
ANTHEM INC2.375% 01/15/2025 DD 09/09/1985,000 87,381 90,912 
ANTHEM INC3.125% 05/15/2022 DD 05/07/12155,000 156,273 160,816 
ARCHER-DANIELS-MIDLAND CO3.250% 03/27/2030 DD 03/27/2080,000 79,378 92,519 
ARI FLEET LEASE TRUS B A3 144A3.430% 08/16/2027 DD 09/27/18138,000 137,979 142,028 
AT&T INC4.350% 03/01/2029 DD 02/19/1930,000 29,852 35,780 
AT&T INC2.750% 06/01/2031 DD 05/28/20145,000 154,415 154,950 
AT&T INC1.650% 02/01/2028 DD 08/04/20130,000 129,836 132,638 
AT&T INC2.250% 02/01/2032 DD 08/04/20130,000 129,765 131,875 
AT&T INC 144A2.550% 12/01/2033 DD 12/07/20218,000 214,920 223,481 
AUTOZONE INC3.625% 04/15/2025 DD 03/30/20160,000 159,859 179,226 
BANK OF AMERICA CORPVAR RT 01/20/2028 DD 01/20/17185,000 182,073 212,489 
BANK OF AMERICA CORPVAR RT 04/24/2028 DD 04/24/17170,000 170,000 193,538 
BANK OF AMERICA CORPVAR RT 12/20/2023 DD 12/20/1753,000 53,010 55,783 
BANK OF AMERICA CORPVAR RT 07/23/2024 DD 07/23/18325,000 325,000 352,365 
BANK OF AMERICA CORPVAR RT 02/13/2031 DD 02/13/2080,000 80,000 84,966 
BANK OF AMERICA CORPVAR RT 06/19/2026 DD 06/19/20225,000 225,000 229,799 
BANK OF AMERICA CORPVAR RT 07/23/2031 DD 07/23/20120,000 120,000 121,241 
BANK OF AMERICA CORPVAR RT 10/24/2026 DD 10/21/20565,000 565,000 572,526 
BANK OF AMERICA NAVAR RT 01/25/2023 DD 01/25/19375,000 375,000 387,180 
BANK OF NEW YORK MELLON CORP/T1.950% 08/23/2022 DD 08/23/1965,000 64,979 66,858 
BANK OF NEW YORK MELLON CORP/T2.100% 10/24/2024 DD 10/24/19235,000 234,589 249,579 
BAT CAPITAL CORP3.222% 08/15/2024 DD 08/15/18180,000 180,000 194,872 
BAT CAPITAL CORP2.789% 09/06/2024 DD 09/06/19325,000 325,000 347,435 
BAXTER INTERNATIONAL INC 144A3.950% 04/01/2030 DD 03/26/2075,000 80,389 89,633 
BAYER US FINANCE II LLC 144A4.250% 12/15/2025 DD 06/25/18275,000 274,480 314,347 
BECTON DICKINSON AND CO2.894% 06/06/2022 DD 06/06/17243,000 243,000 251,175 
BECTON DICKINSON AND CO3.363% 06/06/2024 DD 06/06/1775,000 72,050 81,531 
BENCHMARK 2019-B11 MORT B11 A23.410% 05/15/2052 DD 06/01/19400,000 412,000 428,848 
BLACKROCK INC1.900% 01/28/2031 DD 05/06/20265,000 264,290 277,383 
BNP PARIBAS SA 144AVAR RT 06/09/2026 DD 06/09/20200,000 200,000 209,326 
BOSTON SCIENTIFIC CORP3.750% 03/01/2026 DD 02/25/19315,000 343,469 357,475 
BOSTON SCIENTIFIC CORP1.900% 06/01/2025 DD 05/18/2080,000 79,962 84,033 
BP CAPITAL MARKETS AMERICA INC3.633% 04/06/2030 DD 04/06/2065,000 65,000 75,722 
BRISTOL-MYERS SQUIBB CO1.125% 11/13/2027 DD 11/13/20235,000 234,859 237,350 
BRISTOL-MYERS SQUIBB CO1.450% 11/13/2030 DD 11/13/20185,000 184,691 185,912 
BRIXMOR OPERATING PARTNERSHIP4.050% 07/01/2030 DD 06/10/2050,000 49,888 57,389 
BROADCOM CORP / BROADCOM3.875% 01/15/2027 DD 01/15/1810,000 9,116 11,223 
BROADCOM CORP / BROADCOM3.125% 01/15/2025 DD 10/17/17115,000 109,222 124,175 
BROADCOM INC4.110% 09/15/2028 DD 05/21/20273,000 272,011 312,446 
BROADCOM INC3.150% 11/15/2025 DD 05/08/20180,000 179,755 196,551 
CARMAX AUTO OWNER TRUST 2 4 A33.360% 09/15/2023 DD 10/24/18179,729 179,727 183,516 
CARRIER GLOBAL CORP2.700% 02/15/2031 DD 06/19/20185,000 184,926 198,768 
CARRIER GLOBAL CORP2.242% 02/15/2025 DD 08/15/20130,000 130,000 137,561 
CHARTER COMMUNICATIONS4.908% 07/23/2025 DD 07/23/16300,000 310,330 348,435 
CHARTER COMMUNICATIONS4.464% 07/23/2022 DD 07/23/1610,000 10,032 10,542 
CHARTER COMMUNICATIONS3.750% 02/15/2028 DD 07/06/1725,000 24,966 28,031 
CHARTER COMMUNICATIONS4.200% 03/15/2028 DD 09/18/17110,000 115,808 126,910 
35


CHARTER COMMUNICATIONS5.050% 03/30/2029 DD 01/17/195,000 5,410 6,079 
CHARTER COMMUNICATIONS2.300% 02/01/2032 DD 12/04/20310,000 309,337 310,360 
CHESAPEAKE FUNDING 2A A1 144A3.230% 08/15/2030 DD 08/16/18131,292 131,277 134,214 
CIGNA CORP3.050% 10/15/2027 DD 04/15/20165,000 165,267 184,851 
CITIGROUP COMMERCIAL MOR P1 A53.717% 09/15/2048 DD 08/01/15264,000 285,594 296,799 
CITIGROUP INC4.450% 09/29/2027 DD 09/29/15155,000 155,886 183,232 
CITIGROUP INCVAR RT 04/24/2025 DD 04/24/19495,000 501,481 538,154 
CLECO CORPORATE HOLDINGS LLCVAR RT 05/01/2026 DD 11/01/1663,000 65,485 69,722 
CLECO CORPORATE HOLDINGS LLC3.375% 09/15/2029 DD 03/15/2045,000 44,973 46,217 
CNH EQUIPMENT TRUST 2018- B A43.370% 05/15/2024 DD 09/26/18265,000 264,979 278,104 
COMCAST CORP3.375% 08/15/2025 DD 05/27/1595,000 91,228 105,995 
COMCAST CORP3.150% 03/01/2026 DD 02/23/16220,000 230,564 245,621 
COMCAST CORP3.950% 10/15/2025 DD 10/05/18180,000 179,779 206,798 
COMCAST CORP2.650% 02/01/2030 DD 11/05/19130,000 129,806 142,217 
COMCAST CORP3.100% 04/01/2025 DD 03/27/20120,000 120,555 132,037 
COMCAST CORP1.950% 01/15/2031 DD 05/28/20105,000 104,670 107,829 
COMM 2013-LC6 MORTGAGE LC6 A42.941% 01/10/2046 DD 01/01/13242,317 247,409 251,777 
COMM 2015-CCRE26 MORTG CR26 A43.630% 10/10/2048 DD 10/01/15453,000 466,201 507,741 
COMM 2015-LC19 MORTGAG LC19 A43.183% 02/10/2048 DD 02/01/15320,000 317,900 349,424 
COMMIT TO PUR FNMA SF MTG1.500% 01/01/2036 DD 01/01/214,500,000 4,611,188 4,630,095 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2036 DD 01/01/21900,000 935,859 940,923 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/214,750,000 4,913,275 4,934,253 
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/214,750,000 4,911,203 4,925,940 
COMMIT TO PUR FNMA SF MTG2.500% 01/01/2051 DD 01/01/212,200,000 2,308,281 2,319,108 
COMMIT TO PUR FNMA SF MTG3.000% 01/01/2036 DD 01/01/21900,000 943,734 944,496 
COMMIT TO PUR FNMA SF MTG3.000% 01/01/2051 DD 01/01/21800,000 836,438 838,184 
COMMIT TO PUR FNMA SF MTG3.500% 01/01/2051 DD 01/01/211,800,000 1,899,000 1,902,654 
COMMIT TO PUR GNMA II JUMBOS2.000% 01/20/2051 DD 01/01/213,000,000 3,123,516 3,137,220 
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/211,900,000 1,995,570 2,011,321 
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/212,705,000 2,852,938 2,866,867 
COMMONSPIRIT HEALTH2.760% 10/01/2024 DD 08/21/1965,000 65,000 69,683 
COMMONWEALTH EDISON CO3.700% 08/15/2028 DD 08/14/18170,000 169,592 200,515 
CONAGRA BRANDS INC1.375% 11/01/2027 DD 10/16/20150,000 148,719 151,385 
CONSTELLATION BRANDS INC2.650% 11/07/2022 DD 11/07/17140,000 139,415 145,488 
CONSTELLATION BRANDS INC3.600% 02/15/2028 DD 02/07/1894,000 94,133 107,379 
CONSTELLATION BRANDS INC4.650% 11/15/2028 DD 10/29/1815,000 15,846 18,277 
CONSTELLATION BRANDS INC3.150% 08/01/2029 DD 07/29/1998,000 93,511 109,138 
COX COMMUNICATIONS INC 144A3.150% 08/15/2024 DD 08/07/174,000 3,943 4,337 
CREDIT ACCEPTANCE AU 3A A 144A3.550% 08/15/2027 DD 08/23/18161,315 161,286 163,038 
CROWN CASTLE INTERNATIONAL3.200% 09/01/2024 DD 08/01/1750,000 48,825 54,322 
CSAIL 2015-C1 COMMERCIAL C1 A43.505% 04/15/2050 DD 03/01/15372,000 396,747 406,801 
CSAIL 2015-C3 COMMERCIAL C3 A33.447% 08/15/2048 DD 08/01/15275,000 284,550 296,912 
CVS HEALTH CORP2.875% 06/01/2026 DD 05/25/16125,000 117,375 137,194 
CVS HEALTH CORP3.700% 03/09/2023 DD 03/09/1818,000 17,839 19,257 
CVS HEALTH CORP2.625% 08/15/2024 DD 08/15/1975,000 74,614 80,368 
CVS HEALTH CORP3.750% 04/01/2030 DD 03/31/20155,000 156,118 180,384 
DANSKE BANK A/S 144A5.375% 01/12/2024 DD 01/16/19200,000 199,596 225,632 
DELL EQUIPMENT FINAN 2 A3 144A0.570% 10/23/2023 DD 09/23/20135,000 134,990 135,460 
DISCOVERY COMMUNICATIONS LLC3.800% 03/13/2024 DD 03/13/17113,000 114,809 123,294 
36


DISCOVERY COMMUNICATIONS LLC3.950% 03/20/2028 DD 09/21/1735,000 37,079 40,173 
DISCOVERY COMMUNICATIONS LLC3.625% 05/15/2030 DD 05/18/20115,000 115,000 131,734 
DOMINION ENERGY INC3.375% 04/01/2030 DD 04/03/2045,000 44,548 51,260 
DTE ENERGY CO2.600% 06/15/2022 DD 06/13/1975,000 74,916 77,348 
DUKE ENERGY CAROLINAS LLC3.350% 05/15/2022 DD 11/08/1890,000 89,794 93,735 
DUKE ENERGY CORP3.750% 04/15/2024 DD 04/04/14200,000 199,882 220,194 
ENERGY TRANSFER OPERATING LP5.250% 04/15/2029 DD 01/15/1990,000 89,810 105,080 
ENERGY TRANSFER OPERATING LP3.750% 05/15/2030 DD 01/22/2080,000 79,874 86,292 
ENTERPRISE FLEET FIN 1 A3 144A3.100% 10/20/2023 DD 03/21/18245,000 243,335 248,724 
EQUIFAX INC2.600% 12/15/2025 DD 04/27/20159,000 160,345 171,623 
EQUINOR ASA3.125% 04/06/2030 DD 04/06/20210,000 208,341 238,062 
EQUINOR ASA1.750% 01/22/2026 DD 05/22/20185,000 184,258 194,339 
ESTEE LAUDER COS INC/THE2.600% 04/15/2030 DD 04/13/2045,000 44,917 49,425 
EVERGY INC2.450% 09/15/2024 DD 09/09/1955,000 54,904 58,319 
EVERGY INC2.900% 09/15/2029 DD 09/09/19115,000 114,846 126,055 
EXELON CORP2.450% 04/15/2021 DD 04/07/1630,000 29,993 30,118 
EXELON CORP4.050% 04/15/2030 DD 04/01/2090,000 89,815 106,495 
EXXON MOBIL CORP3.482% 03/19/2030 DD 03/19/2065,000 65,000 75,594 
FEDEX CORP3.300% 03/15/2027 DD 01/06/1760,000 57,750 67,224 
FEDEX CORP3.800% 05/15/2025 DD 04/07/20145,000 144,600 163,683 
FEDEX CORP4.250% 05/15/2030 DD 04/07/2095,000 94,770 115,426 
FHLMC POOL #A4-12155.000% 11/01/2035 DD 12/01/0571,648 68,811 83,354 
FHLMC POOL #A4-12975.000% 12/01/2035 DD 12/01/0526,122 25,087 29,402 
FHLMC POOL #A4-18335.000% 01/01/2036 DD 01/01/069,578 9,199 10,745 
FHLMC POOL #A4-77155.000% 11/01/2035 DD 11/01/05337 324 373 
FHLMC POOL #A7-06315.000% 12/01/2037 DD 12/01/0722,471 21,551 24,899 
FHLMC POOL #A7-72925.000% 04/01/2038 DD 05/01/0877,526 76,557 89,735 
FHLMC POOL #A9-61294.000% 01/01/2041 DD 12/01/101,203,248 1,242,824 1,320,300 
FHLMC POOL #G0-19405.000% 10/01/2035 DD 10/01/0520,172 18,947 23,434 
FHLMC POOL #G0-42145.500% 05/01/2038 DD 04/01/0868,947 69,421 81,081 
FHLMC POOL #G0-87413.000% 01/01/2047 DD 12/01/164,419,111 4,540,637 4,663,886 
FHLMC POOL #G0-87963.500% 12/01/2047 DD 12/01/17294,330 291,468 312,061 
FHLMC POOL #G0-88043.500% 03/01/2048 DD 02/01/18951,513 942,258 1,009,432 
FHLMC POOL #G0-88163.500% 05/01/2048 DD 05/01/18358,766 354,632 379,180 
FHLMC POOL #Q4-62793.500% 02/01/2047 DD 02/01/17215,903 213,238 229,412 
FHLMC POOL #Q5-30343.500% 12/01/2047 DD 12/01/17164,442 162,547 174,318 
FHLMC POOL #Q5-56173.500% 04/01/2048 DD 04/01/18225,246 222,650 238,657 
FHLMC POOL #Q5-65453.500% 06/01/2048 DD 06/01/18516,826 511,799 549,727 
FHLMC POOL #SD-80363.000% 12/01/2049 DD 12/01/194,170,874 4,227,165 4,370,576 
FHLMC MULTICLASS MTG 3883 PB3.000% 05/15/2041 DD 06/01/1167,241 66,973 72,689 
FHLMC MULTICLASS MTG 4216 KQ1.700% 10/15/2039 DD 06/01/13109,335 108,729 110,901 
FHLMC MULTICLASS MTG 4961 JB2.500% 12/15/2042 DD 02/01/20178,393 184,832 186,105 
FIFTH THIRD BANCORP2.375% 01/28/2025 DD 10/28/19130,000 129,964 138,351 
FIRST NATIONAL MASTER NOTE 1 AVAR RT 10/15/2024 DD 10/17/18270,000 270,000 270,383 
FISERV INC3.800% 10/01/2023 DD 09/25/18235,000 234,892 255,962 
FISERV INC2.750% 07/01/2024 DD 06/24/19280,000 279,530 300,661 
FNMA POOL #02563155.500% 07/01/2036 DD 06/01/0627,259 26,726 32,044 
FNMA POOL #07252065.500% 02/01/2034 DD 02/01/0461,538 70,108 71,746 
FNMA POOL #07252225.500% 02/01/2034 DD 02/01/04102,092 116,264 119,070 
37


FNMA POOL #07253145.000% 04/01/2034 DD 03/01/0426,605 25,272 30,748 
FNMA POOL #07271875.500% 08/01/2033 DD 08/01/038,452 8,507 9,787 
FNMA POOL #07336555.500% 09/01/2033 DD 08/01/0317,161 17,273 20,022 
FNMA POOL #07348475.500% 08/01/2033 DD 08/01/0332,826 33,042 38,150 
FNMA POOL #07353835.000% 04/01/2035 DD 03/01/05247,895 277,589 287,789 
FNMA POOL #08202635.000% 07/01/2035 DD 07/01/058,711 8,568 10,127 
FNMA POOL #08259515.000% 07/01/2035 DD 06/01/0512,920 12,708 14,467 
FNMA POOL #08269555.000% 06/01/2035 DD 06/01/051,028 1,011 1,172 
FNMA POOL #08285235.000% 07/01/2035 DD 07/01/0521,002 20,658 24,420 
FNMA POOL #08285475.000% 08/01/2035 DD 08/01/051,950 1,851 2,267 
FNMA POOL #08286785.000% 07/01/2035 DD 07/01/059,464 9,308 10,646 
FNMA POOL #08287125.000% 07/01/2035 DD 07/01/0517,479 17,192 20,321 
FNMA POOL #08309965.000% 08/01/2035 DD 07/01/0512,428 12,224 13,856 
FNMA POOL #08320135.000% 09/01/2035 DD 08/01/0530,609 30,107 35,572 
FNMA POOL #08328785.000% 09/01/2035 DD 08/01/0529,977 28,989 34,847 
FNMA POOL #08387785.000% 10/01/2035 DD 10/01/058,485 8,060 9,655 
FNMA POOL #08403775.000% 11/01/2035 DD 11/01/057,225 6,863 8,396 
FNMA POOL #08433605.000% 11/01/2035 DD 11/01/056,538 6,213 7,235 
FNMA POOL #08440185.000% 11/01/2035 DD 10/01/0532,081 30,473 37,295 
FNMA POOL #08670655.000% 02/01/2036 DD 02/01/067,868 7,468 9,147 
FNMA POOL #08820225.500% 05/01/2036 DD 05/01/061,656 1,623 1,947 
FNMA POOL #08880235.500% 06/01/2036 DD 11/01/06209,884 209,392 244,101 
FNMA POOL #08881205.000% 10/01/2035 DD 12/01/0666,024 63,842 76,766 
FNMA POOL #08886355.500% 09/01/2036 DD 08/01/0752,904 60,256 61,698 
FNMA POOL #08932895.500% 08/01/2036 DD 08/01/0611,409 11,197 12,972 
FNMA POOL #08933635.000% 06/01/2036 DD 08/01/063,042 2,890 3,536 
FNMA POOL #09009795.500% 09/01/2036 DD 09/01/067,445 7,307 8,585 
FNMA POOL #09618765.000% 03/01/2038 DD 02/01/0855,091 53,796 61,108 
FNMA POOL #0AN86953.550% 03/01/2028 DD 03/01/18692,546 708,534 795,139 
FNMA POOL #0AT20163.000% 04/01/2043 DD 04/01/13587,846 593,357 628,442 
FNMA POOL #0BJ86223.500% 05/01/2048 DD 04/01/1863,178 62,625 66,864 
FNMA POOL #0BK50103.500% 06/01/2048 DD 06/01/18201,631 199,867 213,245 
FNMA POOL #0BN52794.000% 02/01/2049 DD 02/01/191,215,821 1,240,137 1,298,740 
FNMA POOL #0CA11913.500% 11/01/2047 DD 01/01/1895,456 94,650 101,110 
FNMA GTD REMIC P/T 12-128 PD1.500% 06/25/2042 DD 10/01/12190,919 188,719 194,484 
FNMA GTD REMIC P/T 12-18 GA2.000% 12/25/2041 DD 02/01/12103,097 97,443 106,509 
FNMA GTD REMIC P/T 12-21 PQ2.000% 09/25/2041 DD 02/01/1254,974 52,045 56,608 
FNMA GTD REMIC P/T 12-52 PA3.500% 05/25/2042 DD 04/01/1265,820 66,671 71,369 
FNMA GTD REMIC P/T 12-75 KC2.500% 12/25/2041 DD 06/01/12103,513 100,424 106,780 
FNMA GTD REMIC P/T 13-43 XP1.500% 08/25/2041 DD 04/01/13130,542 128,895 132,973 
FNMA GTD REMIC P/T 13-77 BP1.700% 06/25/2043 DD 06/01/13102,942 102,331 104,528 
FNMA GTD REMIC P/T 15-48 QB3.000% 02/25/2043 DD 06/01/15151,470 152,754 157,205 
FNMA GTD REMIC P/T 16-11 GA2.500% 03/25/2046 DD 02/01/16105,280 102,056 110,543 
FNMA GTD REMIC P/T 17-34 JK3.000% 05/25/2047 DD 04/01/1776,261 73,854 78,968 
FNMA GTD REMIC P/T 17-72 B3.000% 09/25/2047 DD 08/01/17131,326 130,982 140,789 
FNMA GTD REMIC P/T 17-72 CD3.000% 09/25/2047 DD 08/01/17134,865 134,161 144,869 
FNMA GTD REMIC P/T 18-23 LA3.500% 04/25/2048 DD 03/01/18143,246 144,645 155,495 
FNMA GTD REMIC P/T 18-38 PC3.500% 03/25/2045 DD 05/01/1893,373 93,577 95,599 
FNMA GTD REMIC P/T 18-77 PA3.500% 02/25/2048 DD 09/01/1861,858 61,587 64,911 
38


FNMA GTD REMIC P/T 18-80 GD3.500% 12/25/2047 DD 09/01/18225,553 223,271 238,206 
FNMA GTD REMIC P/T 19-6 GJ3.000% 02/25/2049 DD 02/01/19117,780 120,633 125,134 
GE CAPITAL FUNDING LLC 144A4.400% 05/15/2030 DD 05/18/20200,000 210,148 235,766 
GENERAL ELECTRIC CO3.450% 05/01/2027 DD 04/22/2060,000 59,907 67,863 
GENERAL MILLS INC4.000% 04/17/2025 DD 04/17/18130,000 141,886 146,964 
GENERAL MOTORS CO5.000% 10/01/2028 DD 09/10/1875,000 74,974 89,241 
GENERAL MOTORS CO6.125% 10/01/2025 DD 05/12/2060,000 59,939 72,778 
GENERAL MOTORS FINANCIAL CO IN4.300% 07/13/2025 DD 07/13/1545,000 44,164 50,451 
GEORGIA POWER CO3.250% 03/30/2027 DD 03/03/17122,000 125,065 134,844 
GILEAD SCIENCES INC1.200% 10/01/2027 DD 09/30/20125,000 124,891 125,866 
GLAXOSMITHKLINE CAPITAL INC3.375% 05/15/2023 DD 05/15/18220,000 218,968 235,699 
GLOBAL PAYMENTS INC2.650% 02/15/2025 DD 08/14/1970,000 69,983 74,962 
GLOBAL PAYMENTS INC2.900% 05/15/2030 DD 05/15/20145,000 144,526 157,886 
GLP CAPITAL LP / GLP FINANCING5.300% 01/15/2029 DD 09/26/1860,000 60,025 69,417 
GM FINANCIAL CONSUMER AUT 3 A40.580% 01/16/2026 DD 08/19/2095,000 94,999 95,403 
GNMA POOL #03459106.000% 12/15/2023 DD 12/01/93755 787 847 
GNMA POOL #04272396.000% 01/15/2028 DD 01/01/98482 503 541 
GNMA POOL #04655416.000% 07/15/2028 DD 07/01/98733 764 825 
GNMA POOL #04867036.000% 11/15/2028 DD 11/01/98459 479 529 
GNMA POOL #04912896.000% 11/15/2028 DD 11/01/987,967 8,328 8,947 
GNMA POOL #05966136.000% 10/15/2032 DD 10/01/02277 286 313 
GNMA POOL #06013196.000% 02/15/2033 DD 02/01/034,654 4,865 5,228 
GNMA POOL #07398964.000% 01/15/2041 DD 01/01/11103,418 111,687 112,934 
GNMA POOL #07672634.000% 08/15/2041 DD 08/01/11460,964 497,823 503,645 
GNMA POOL #07704104.000% 06/15/2041 DD 06/01/1125,955 28,056 28,049 
GNMA POOL #07786934.000% 12/15/2041 DD 12/01/1162,478 67,535 67,493 
GNMA POOL #07818566.000% 08/15/2034 DD 01/01/0596,312 99,645 116,360 
GNMA POOL #07820717.000% 05/15/2033 DD 03/01/0626,645 27,803 31,236 
GNMA GTD REMIC P/T 13-37 LG2.000% 01/20/2042 DD 03/01/13142,215 132,704 145,999 
GNMA GTD REMIC P/T 15-151 BA1.700% 10/20/2045 DD 10/01/1591,708 91,170 92,799 
GNMA GTD REMIC P/T 15-56 LB1.500% 04/16/2040 DD 04/01/15154,265 152,843 155,764 
GNMA II POOL #0MA46523.500% 08/20/2047 DD 08/01/171,267,153 1,319,622 1,357,970 
GNMA II POOL #0MA49613.000% 01/20/2048 DD 01/01/18200,547 193,661 212,572 
GNMA II POOL #0MA50183.000% 02/20/2048 DD 02/01/182,021,064 1,951,669 2,114,902 
GOLDMAN SACHS GROUP INC/THE5.750% 01/24/2022 DD 01/24/12130,000 138,318 137,410 
GOLDMAN SACHS GROUP INC/THE4.000% 03/03/2024 DD 03/03/1480,000 79,758 88,398 
GOLDMAN SACHS GROUP INC/THEVAR RT 07/24/2023 DD 07/24/17295,000 293,151 306,399 
GOLDMAN SACHS GROUP INC/THE3.750% 02/25/2026 DD 02/25/16185,000 193,221 210,151 
GOLDMAN SACHS GROUP INC/THE3.500% 11/16/2026 DD 11/16/16230,000 212,920 258,207 
HOME DEPOT INC/THE2.500% 04/15/2027 DD 03/30/2040,000 39,805 43,895 
HSBC HOLDINGS PLCVAR RT 05/24/2027 DD 11/24/20200,000 200,000 203,384 
IHS MARKIT LTD 144A4.750% 02/15/2025 DD 02/09/17170,000 185,793 195,092 
INTEL CORP2.450% 11/15/2029 DD 11/21/1955,000 56,169 59,662 
INTERNATIONAL BUSINESS MACHINE3.000% 05/15/2024 DD 05/15/19195,000 194,255 211,240 
INTERNATIONAL BUSINESS MACHINE3.300% 05/15/2026 DD 05/15/19195,000 194,637 220,342 
INTERNATIONAL BUSINESS MACHINE3.500% 05/15/2029 DD 05/15/19200,000 199,498 231,416 
IPALCO ENTERPRISES INC 144A4.250% 05/01/2030 DD 04/14/20180,000 179,836 207,799 
ITC HOLDINGS CORP 144A2.950% 05/14/2030 DD 05/14/20110,000 109,773 120,233 
JOHN DEERE CAPITAL CORP3.450% 06/07/2023 DD 06/07/1885,000 84,953 91,348 
39


JOHN DEERE CAPITAL CORP0.700% 07/05/2023 DD 06/04/20175,000 174,857 176,853 
JPMBB COMMERCIAL MORTGA C32 A53.598% 11/15/2048 DD 10/01/15322,000 351,219 359,333 
JPMORGAN CHASE & CO4.350% 08/15/2021 DD 08/10/11250,000 248,800 256,400 
JPMORGAN CHASE & COVAR RT 01/23/2029 DD 01/23/18255,000 255,000 290,009 
JPMORGAN CHASE & COVAR RT 07/23/2024 DD 07/23/18345,000 345,000 374,242 
JPMORGAN CHASE & COVAR RT 01/29/2027 DD 01/29/19440,000 440,000 505,600 
JPMORGAN CHASE & COVAR RT 05/06/2030 DD 05/06/1945,000 45,000 52,202 
JPMORGAN CHASE & COVAR RT 03/24/2031 DD 03/24/20210,000 210,000 258,327 
KELLOGG CO3.250% 04/01/2026 DD 03/07/16140,000 148,725 157,419 
L3HARRIS TECHNOLOGIES INC4.400% 06/15/2028 DD 12/15/1994,000 106,666 112,714 
LAS VEGAS SANDS CORP3.200% 08/08/2024 DD 07/31/1980,000 79,937 84,734 
LENNOX INTERNATIONAL INC1.350% 08/01/2025 DD 07/30/20120,000 119,890 122,761 
LOWE'S COS INC1.300% 04/15/2028 DD 10/22/2090,000 89,936 90,794 
LYB INTERNATIONAL FINANCE III2.875% 05/01/2025 DD 04/20/2070,000 69,938 75,749 
LYB INTERNATIONAL FINANCE III1.250% 10/01/2025 DD 10/08/2085,000 84,731 86,489 
MARATHON PETROLEUM CORP4.500% 05/01/2023 DD 04/27/20350,000 362,835 380,041 
MARSH & MCLENNAN COS INC4.050% 10/15/2023 DD 09/27/13375,000 373,523 409,515 
MARSH & MCLENNAN COS INC3.875% 03/15/2024 DD 01/15/19105,000 105,096 115,811 
MARSH & MCLENNAN COS INC4.375% 03/15/2029 DD 01/15/1995,000 95,149 115,665 
MASTERCARD INC3.350% 03/26/2030 DD 03/26/2030,000 29,942 34,882 
MCDONALD'S CORP1.450% 09/01/2025 DD 03/05/20160,000 159,706 165,922 
MICROCHIP TECHNOLOGY INC 144A2.670% 09/01/2023 DD 05/29/20170,000 170,000 177,796 
MMAF EQUIPMENT FINA BA A3 144A0.490% 08/14/2025 DD 09/23/20100,000 99,999 100,107 
MORGAN STANLEYVAR RT 07/22/2025 DD 07/23/19290,000 290,000 310,178 
MORGAN STANLEYVAR RT 02/13/2032 DD 11/13/20100,000 100,000 100,715 
MORGAN STANLEY2.750% 05/19/2022 DD 05/19/17200,000 199,582 206,544 
MORGAN STANLEYVAR RT 04/24/2024 DD 04/24/18135,000 135,000 145,255 
MORGAN STANLEY2.500% 04/21/2021 DD 04/21/16190,000 189,362 191,178 
MORGAN STANLEY4.875% 11/01/2022 DD 10/23/1220,000 20,161 21,550 
MORGAN STANLEY3.125% 07/27/2026 DD 07/25/16570,000 566,836 637,129 
MORGAN STANLEY BANK OF A C8 A43.134% 12/15/2048 DD 02/01/13230,000 235,094 239,936 
MORGAN STANLEY BANK OF C14 A54.064% 02/15/2047 DD 02/01/1425,000 26,743 27,215 
MPLX LP4.125% 03/01/2027 DD 02/10/17190,000 177,976 219,135 
MPLX LP1.750% 03/01/2026 DD 08/18/20125,000 124,731 129,364 
NATIONAL RURAL UTILITIES COOPE3.700% 03/15/2029 DD 01/31/1945,000 44,900 52,620 
NESTLE HOLDINGS INC 144A3.350% 09/24/2023 DD 09/24/18175,000 174,969 188,668 
NEW YORK LIFE GLOBAL FUND 144A2.000% 04/13/2021 DD 04/13/16340,000 340,853 341,639 
NISOURCE INC0.950% 08/15/2025 DD 08/18/20220,000 219,454 221,329 
NISOURCE INC3.490% 05/15/2027 DD 05/22/17180,000 182,439 204,107 
NOVARTIS CAPITAL CORP2.200% 08/14/2030 DD 02/14/2075,000 74,902 80,520 
NUCOR CORP2.000% 06/01/2025 DD 05/22/2025,000 24,962 26,476 
NVIDIA CORP2.850% 04/01/2030 DD 03/31/20145,000 144,462 163,116 
NXP BV / NXP FUNDING LLC 144A5.350% 03/01/2026 DD 12/06/1889,000 98,645 107,224 
NXP BV / NXP FUNDING LLC 144A4.875% 03/01/2024 DD 12/06/18265,000 267,241 298,899 
NXP BV / NXP FUNDING LLC 144A2.700% 05/01/2025 DD 05/01/20545,000 544,542 586,584 
ONEOK INC3.400% 09/01/2029 DD 08/15/1930,000 29,893 32,106 
ORACLE CORP2.500% 04/01/2025 DD 04/01/2090,000 89,967 96,728 
ORACLE CORP2.800% 04/01/2027 DD 04/01/2090,000 89,807 99,259 
ORACLE CORP2.950% 04/01/2030 DD 04/01/2090,000 89,907 100,633 
40


OTIS WORLDWIDE CORP2.056% 04/05/2025 DD 02/27/20620,000 621,109 657,101 
PACIFIC GAS AND ELECTRIC CO2.100% 08/01/2027 DD 06/19/20400,000 399,256 407,048 
PACIFICORP3.500% 06/15/2029 DD 03/01/19190,000 189,649 219,021 
PACIFICORP2.700% 09/15/2030 DD 04/08/2010,000 9,982 10,990 
PENSKE TRUCK LEASING CO L 144A4.875% 07/11/2022 DD 07/13/12155,000 159,446 165,247 
PENSKE TRUCK LEASING CO L 144A3.375% 02/01/2022 DD 02/02/1565,000 68,080 66,723 
PENSKE TRUCK LEASING CO L 144A3.900% 02/01/2024 DD 05/10/1835,000 34,929 38,219 
PFIZER INC2.625% 04/01/2030 DD 03/27/2065,000 64,773 72,550 
PFIZER INC1.700% 05/28/2030 DD 05/28/2045,000 44,860 46,725 
PHILIP MORRIS INTERNATIONAL IN1.500% 05/01/2025 DD 05/01/20180,000 179,122 186,442 
PNC FINANCIAL SERVICES GROUP I3.450% 04/23/2029 DD 04/22/19170,000 169,728 195,957 
PNC FINANCIAL SERVICES GROUP I2.200% 11/01/2024 DD 11/01/19175,000 174,942 185,988 
PPL CAPITAL FUNDING INC3.400% 06/01/2023 DD 05/24/1350,000 52,075 53,100 
PROGRESSIVE CORP/THE3.200% 03/26/2030 DD 03/26/2020,000 20,000 23,033 
PUGET ENERGY INC4.100% 06/15/2030 DD 05/19/20140,000 139,766 158,302 
RAYTHEON TECHNOLOGIES CORP3.650% 08/16/2023 DD 08/16/184,000 4,000 4,313 
RAYTHEON TECHNOLOGIES CORP3.950% 08/16/2025 DD 08/16/1840,000 39,932 45,876 
ROYALTY PHARMA PLC 144A1.750% 09/02/2027 DD 09/02/20205,000 202,742 210,939 
ROYALTY PHARMA PLC 144A2.200% 09/02/2030 DD 09/02/20390,000 390,365 400,499 
SABINE PASS LIQUEFACTION 144A4.500% 05/15/2030 DD 05/08/20145,000 144,629 171,866 
SABINE PASS LIQUEFACTION LLC5.750% 05/15/2024 DD 11/15/14170,000 188,753 194,359 
SANTANDER CONSUMER BA A4 144A0.540% 04/15/2025 DD 08/26/20110,000 109,985 110,253 
SANTANDER DRIVE AUTO REC 1 A2A2.070% 01/17/2023 DD 04/22/2033,740 33,739 33,901 
SANTANDER DRIVE AUTO RECE 4 A30.480% 07/15/2024 DD 11/24/2090,000 89,987 90,270 
SANTANDER HOLDINGS USA INC3.700% 03/28/2022 DD 09/28/17265,000 268,747 273,658 
SEMPRA ENERGY3.400% 02/01/2028 DD 01/12/18250,000 259,097 284,730 
SHERWIN-WILLIAMS CO/THE2.750% 06/01/2022 DD 05/16/176,000 5,996 6,191 
SIMON PROPERTY GROUP LP2.000% 09/13/2024 DD 09/13/1995,000 94,906 99,280 
SOUTHERN CALIFORNIA EDISON CO2.250% 06/01/2030 DD 03/09/20125,000 125,404 130,145 
SOUTHERN CALIFORNIA GAS CO2.600% 06/15/2026 DD 06/03/16130,000 129,748 141,219 
SOUTHERN CO/THE2.950% 07/01/2023 DD 05/24/16195,000 198,992 206,497 
SOUTHERN CO/THE3.250% 07/01/2026 DD 05/24/16175,000 164,176 196,312 
SOUTHERN CO/THE3.700% 04/30/2030 DD 04/03/20270,000 282,870 312,652 
STARBUCKS CORP3.800% 08/15/2025 DD 08/10/1870,000 69,325 79,662 
STARBUCKS CORP2.250% 03/12/2030 DD 03/12/20250,000 248,535 264,635 
STATE STREET CORPVAR RT 12/03/2024 DD 12/03/1865,000 65,000 71,456 
STATE STREET CORPVAR RT 11/01/2025 DD 11/01/19200,000 200,000 213,458 
STATE STREET CORPVAR RT 03/30/2026 DD 09/30/20100,000 100,000 108,932 
TAKEDA PHARMACEUTICAL CO LTD2.050% 03/31/2030 DD 07/09/20200,000 199,608 204,718 
TEXAS EASTERN TRANSMISSIO 144A3.500% 01/15/2028 DD 01/09/1860,000 59,689 65,759 
T-MOBILE USA INC 144A3.500% 04/15/2025 DD 04/09/20130,000 130,978 143,647 
T-MOBILE USA INC 144A3.750% 04/15/2027 DD 04/09/20160,000 159,931 182,208 
T-MOBILE USA INC 144A3.875% 04/15/2030 DD 04/09/20320,000 317,690 370,624 
T-MOBILE USA INC 144A1.500% 02/15/2026 DD 06/24/20295,000 294,504 302,042 
T-MOBILE USA INC 144A2.050% 02/15/2028 DD 06/24/2040,000 41,064 41,606 
T-MOBILE USA INC 144A2.250% 11/15/2031 DD 10/28/20180,000 179,982 184,741 
TOYOTA AUTO RECEIVABLES 2 D A43.300% 02/15/2024 DD 11/07/18175,000 174,964 183,372 
TRANSCANADA PIPELINES LTD4.100% 04/15/2030 DD 04/06/20250,000 251,249 295,708 
TRUIST BANK1.500% 03/10/2025 DD 03/09/20250,000 249,485 258,830 
41


TRUIST FINANCIAL CORP2.500% 08/01/2024 DD 07/29/19275,000 274,769 292,900 
TYSON FOODS INC4.000% 03/01/2026 DD 02/19/19140,000 151,868 161,038 
U S TREASURY BOND6.875% 08/15/2025 DD 08/15/952,190,000 2,891,912 2,848,380 
U S TREASURY NOTE1.625% 08/31/2022 DD 08/31/1716,385,000 16,536,933 16,792,003 
U S TREASURY NOTE2.625% 12/31/2023 DD 12/31/184,480,000 4,846,100 4,808,474 
U S TREASURY NOTE3.125% 05/15/2021 DD 05/15/113,347,000 3,393,806 3,383,616 
U S TREASURY NOTE1.250% 08/31/2024 DD 08/31/195,045,000 5,247,810 5,233,380 
U S TREASURY NOTE0.500% 03/15/2023 DD 03/15/20741,000 745,776 747,024 
U S TREASURY NOTE0.125% 05/15/2023 DD 05/15/206,600,000 6,590,977 6,598,218 
U S TREASURY NOTE0.250% 05/31/2025 DD 05/31/202,150,000 2,145,969 2,145,894 
U S TREASURY NOTE0.125% 10/15/2023 DD 10/15/207,100,000 7,088,352 7,095,030 
UBS COMMERCIAL MORTGAGE4.195% 08/15/2051 DD 08/01/18200,000 223,078 231,012 
UNION PACIFIC CORP3.750% 07/15/2025 DD 06/08/18245,000 244,990 278,004 
UNION PACIFIC CORP3.150% 03/01/2024 DD 02/19/1955,000 54,954 59,503 
UNITEDHEALTH GROUP INC2.375% 08/15/2024 DD 07/25/19135,000 134,966 143,897 
UNITEDHEALTH GROUP INC2.875% 08/15/2029 DD 07/25/1945,000 44,988 51,150 
UNITEDHEALTH GROUP INC1.250% 01/15/2026 DD 05/18/2040,000 39,845 41,235 
UNUM GROUP4.500% 03/15/2025 DD 05/21/2060,000 59,738 67,959 
US BANCORP3.375% 02/05/2024 DD 02/04/1965,000 64,982 70,761 
VALERO ENERGY CORP2.850% 04/15/2025 DD 04/16/2040,000 39,970 42,602 
VALERO ENERGY CORP2.150% 09/15/2027 DD 09/10/20120,000 118,045 122,611 
VALERO ENERGY PARTNERS LP4.500% 03/15/2028 DD 03/29/1845,000 44,847 51,695 
VEREIT OPERATING PARTNERSHIP L3.400% 01/15/2028 DD 06/29/2040,000 39,658 44,158 
VEREIT OPERATING PARTNERSHIP L2.200% 06/15/2028 DD 11/17/2020,000 19,776 20,451 
VERIZON COMMUNICATIONS INC4.125% 03/16/2027 DD 03/16/1780,000 80,649 94,295 
VERIZON COMMUNICATIONS INC4.329% 09/21/2028 DD 06/21/1885,000 84,425 102,360 
VERIZON COMMUNICATIONS INC4.016% 12/03/2029 DD 06/03/19152,000 156,913 180,742 
VERIZON COMMUNICATIONS INC3.000% 03/22/2027 DD 03/20/20150,000 149,925 166,416 
VERIZON COMMUNICATIONS INC1.500% 09/18/2030 DD 09/18/20120,000 119,867 118,214 
VERIZON COMMUNICATIONS INC1.750% 01/20/2031 DD 11/20/2095,000 94,568 94,525 
VERIZON COMMUNICATIONS INC0.850% 11/20/2025 DD 11/20/2095,000 94,991 95,746 
VIACOMCBS INC4.950% 01/15/2031 DD 04/01/20235,000 230,385 294,956 
VIACOMCBS INC4.200% 05/19/2032 DD 05/19/20125,000 121,744 150,644 
VIATRIS INC 144A1.650% 06/22/2025 DD 06/22/2055,000 54,879 56,886 
VIATRIS INC 144A2.300% 06/22/2027 DD 06/22/2045,000 44,980 47,908 
VIRGINIA ELECTRIC AND POWER CO2.750% 03/15/2023 DD 03/14/13340,000 339,912 355,970 
VODAFONE GROUP PLC3.750% 01/16/2024 DD 05/30/18200,000 207,424 218,552 
WASTE MANAGEMENT INC1.500% 03/15/2031 DD 11/17/20195,000 194,538 193,165 
WELLS FARGO & CO3.000% 04/22/2026 DD 04/22/16240,000 238,923 264,144 
WELLS FARGO & CO4.125% 08/15/2023 DD 08/15/13110,000 109,370 120,156 
WELLS FARGO & CO2.625% 07/22/2022 DD 07/24/17475,000 474,582 491,682 
WELLS FARGO & CO3.750% 01/24/2024 DD 01/24/19175,000 179,241 191,046 
WELLS FARGO & COVAR RT 10/30/2025 DD 10/31/1975,000 75,000 79,303 
WELLTOWER INC4.000% 06/01/2025 DD 05/26/15170,000 182,092 192,540 
WELLTOWER INC2.700% 02/15/2027 DD 12/16/1980,000 79,914 87,966 
WESTINGHOUSE AIR BRAKE TECH3.200% 06/15/2025 DD 06/29/2040,000 39,957 43,154 
WFRBS COMMERCIAL MORTG LC144.045% 03/15/2047 DD 02/01/1485,000 90,814 92,925 
WILLIAMS COS INC/THE3.900% 01/15/2025 DD 06/27/1490,000 89,856 99,787 
WILLIS NORTH AMERICA INC3.600% 05/15/2024 DD 05/16/17110,000 110,160 120,110 
42


WILLIS NORTH AMERICA INC4.500% 09/15/2028 DD 09/10/18155,000 170,988 186,822 
WILLIS NORTH AMERICA INC2.950% 09/15/2029 DD 09/10/1950,000 49,910 54,706 
COMMIT TO PUR FNMA SF MTG1.500% 01/01/2036 DD 01/01/212,200,000 102 (2,252,250)
COMMIT TO PUR FNMA SF MTG1.500% 01/01/2036 DD 01/01/212,300,000 103 (2,358,938)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2036 DD 01/01/21400,000 104 (415,000)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2036 DD 01/01/21500,000 104 (520,859)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21950,000 103 (981,172)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21850,000 103 (877,891)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21800,000 103 (827,500)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21200,000 103 (206,586)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/211,300,000 103 (1,345,043)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/212,300,000 104 (2,384,004)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/211,600,000 103 (1,652,500)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21725,000 103 (750,063)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21775,000 103 (801,792)
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/21950,000 103 (982,063)
COMMIT TO PUR FNMA SF MTG2.000% 02/01/2051 DD 02/01/213,800,000 103 (3,929,141)
COMMIT TO PUR FNMA SF MTG2.500% 01/01/2051 DD 01/01/212,200,000 105 (2,308,281)
COMMIT TO PUR FNMA SF MTG3.000% 01/01/2036 DD 01/01/21900,000 105 (943,734)
COMMIT TO PUR FNMA SF MTG3.000% 01/01/2051 DD 01/01/21400,000 105 (418,016)
COMMIT TO PUR FNMA SF MTG3.000% 01/01/2051 DD 01/01/21400,000 105 (418,422)
COMMIT TO PUR FNMA SF MTG3.500% 01/01/2051 DD 01/01/21900,000 105 (949,359)
COMMIT TO PUR FNMA SF MTG3.500% 01/01/2051 DD 01/01/21900,000 106 (949,641)
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21(950,000)104 983,918 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21(1,300,000)104 1,346,719 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21(2,300,000)104 2,382,656 
COMMIT TO PUR FNMA SF MTG2.000% 01/01/2051 DD 01/01/21(200,000)104 207,188 
COMMIT TO PUR GNMA II JUMBOS2.000% 01/20/2051 DD 01/01/211,500,000 104 (1,561,758)
COMMIT TO PUR GNMA II JUMBOS2.000% 01/20/2051 DD 01/01/211,500,000 104 (1,561,758)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/21600,000 105 (630,469)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/21110,000 105 (115,638)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/2180,000 105 (84,100)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/21160,000 105 (168,200)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/21480,000 105 (503,550)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/21150,000 105 (157,383)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/21120,000 105 (125,911)
COMMIT TO PUR GNMA II JUMBOS2.500% 01/20/2051 DD 01/01/21200,000 105 (210,320)
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/21800,000 106 (844,250)
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/21252,000 105 (265,584)
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/2153,000 105 (55,857)
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/2152,000 105 (54,838)
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/21248,000 105 (261,533)
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/21900,000 106 (949,500)
COMMIT TO PUR GNMA II JUMBOS3.500% 01/20/2051 DD 01/01/21400,000 105 (421,375)
U S TREASURY NOTE0.250% 05/31/2025 DD 05/31/202,150,000 100 (2,146,486)
U S TREASURY NOTE0.500% 10/31/2027 DD 10/31/201,500,000 99 (1,489,276)
U S TREASURY NOTE1.625% 08/15/2022 DD 08/15/12(1,500,000)102 1,546,027 
INTEREST BEARING CASHTEMPORARY INVESTMENTS33,749,041 33,749,041 
TOTAL UNDERLYING ASSETS$307,508,111 $284,388,420 
MET TOWER LIFE 38025 - 69.5% of MARKET VALUE$195,001,273 
IGT INVESCO SHORT-TERM BOND FUND137,668,307 
FAIR VALUE MET TOWER LIFE 38025332,669,580 
43


MET TOWER LIFE 38025 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE(11,744,447)
MET TOWER LIFE 38025 - CONTRACT VALUE$320,925,133 
RGA RGA00036 - 30.5% of MARKET VALUE$89,387,147 
IGT INVESCO SHORT-TERM BOND FUND201,738,788 
FAIR VALUE RGA RGA00036291,125,935 
RGA RGA00036 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE(8,071,807)
RGA RGA00036 - CONTRACT VALUE$283,054,128 
44


EXHIBIT INDEX

EXHIBIT NO.DESCRIPTION
* Filed herewith
45


SIGNATURES


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

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN


DATE: June 14, 2021
BY: /s/ BRYAN JENDRETZKE
Bryan Jendretzke
Global Benefits Director and Plan Administrator
46