Major Shareholders 

GM

Name Shares
Held
% Total
Shares Held
Shares
Change
% Chg from
Prior Port
% Total
Assets
Date of
Portfolio
Star Rating
Franklin Income A 27,025,000 1.69 -915,000 -3.27 1.1 03/31/2015
Vanguard Total Stock Mkt Idx 24,195,491 1.51 75,838 0.31 0.21 04/30/2015
VA CollegeAmerica Invmt Co of Amer 529E 22,128,309 1.38 3,110,000 16.35 1.17 03/31/2015
Oakmark Equity & Income I 19,468,580 1.22 0 0.00 3.53 03/31/2015
Harris Assoc. Equity & Income CIT 19,468,580 1.22 19,407,480 31763.47 3.53 03/31/2015
Vanguard 500 Index Inv 15,277,641 0.95 72,750 0.48 0.26 04/30/2015
Vanguard Institutional Index I 14,266,747 0.89 9,200 0.06 0.26 04/30/2015
VA CollegeAmerica Inc Fund of Amer 529E 12,602,512 0.79 -798,000 -5.95 0.52 03/31/2015
SPDR® S&P 500 ETF 12,674,522 0.80 2,286 0.02 0.26 05/26/2015
VA CollegeAmerica Cap World G/I 529E 10,220,897 0.64 0 0.00 0.46 03/31/2015
JPMorgan US Large Cap Core Plus A 9,703,814 0.61 -20,190 -0.21 3.1 03/31/2015
Oakmark I 7,850,000 0.49 0 0.00 1.63 03/31/2015
American Funds NVIT Growth-Income II 6,952,256 0.43 0 0.00 1.14 03/31/2015
Invesco Comstock A 6,753,231 0.42 0 0.00 1.87 03/31/2015
Fidelity Spartan® 500 Index Inv 6,426,385 0.40 61,783 0.97 0.27 03/31/2015
Franklin Mutual Global Discovery Z 6,291,420 0.39 0 0.00 0.91 03/31/2015
Franklin Mutual Shares Z 6,183,080 0.39 0 0.00 1.42 03/31/2015
Consumer Discret Sel Sect SPDR® ETF 6,035,435 0.38 0 0.00 2.05 05/26/2015
JPMorgan US Equity Instl 5,539,394 0.35 -430,781 -7.22 1.68 03/31/2015
American Beacon Lg Cap Value Inst 5,494,098 0.34 0 0.00 1.72 03/31/2015