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 23,011,000 1.44 18,011,000 360.22 0.87 06/30/2014
Vanguard Total Stock Mkt Idx 20,595,181 1.28 177,943 0.87 0.2 07/31/2014
VA CollegeAmerica Invmt Co of Amer 529E 19,018,309 1.19 90,000 0.48 1.03 06/30/2014
Harris Assoc. Equity & Income CIT 18,564,100 1.16 442,100 2.44 3.19 06/30/2014
Oakmark Equity & Income I 18,564,100 1.16 442,100 2.44 3.19 06/30/2014
VA CollegeAmerica Cap World G/I 529E 14,652,347 0.92 0 0.00 0.63 06/30/2014
Vanguard 500 Index Inv 13,497,995 0.84 -31,972 -0.24 0.26 07/31/2014
Vanguard Institutional Index I 13,388,018 0.83 176,896 1.34 0.26 07/31/2014
SPDR S&P 500 12,703,513 0.81 36,211 0.29 0.26 08/29/2014
CREF Stock 9,692,171 0.61 88,313 0.92 0.27 06/30/2014
JPMorgan US Large Cap Core Plus A 7,963,990 0.50 -112,600 -1.39 2.68 06/30/2014
Oakmark I 7,850,000 0.49 1,050,000 15.44 1.88 06/30/2014
American Funds NVIT Growth-Income II 6,949,708 0.43 -287,800 -3.98 1.08 06/30/2014
Invesco Comstock A 6,753,231 0.43 180,336 2.74 1.9 06/30/2014
VA CollegeAmerica Grth Fund of Amer 529F 6,607,600 0.41 -4,000,000 -37.71 0.18 06/30/2014
Franklin Mutual Shares Z 5,469,310 0.34 178,502 3.37 1.16 06/30/2014
Fidelity SpartanĀ® 500 Index Inv 5,695,055 0.35 44,417 0.79 0.25 07/31/2014
Franklin Mutual Global Discovery Z 5,201,390 0.33 268,760 5.45 0.72 06/30/2014
American Beacon Lg Cap Value Inst 4,892,468 0.31 417 0.01 1.42 06/30/2014
T. Rowe Price Equity Income 4,660,006 0.29 0 0.00 0.55 06/30/2014