Major Shareholders 

GM

Name Shares
Held
% Total
Shares Held
Shares
Change
% Chg from
Prior Port
% Total
Assets
Date of
Portfolio
Star Rating
Harris Assoc. Equity & Income CIT 17,039,500 1.14 1,102,000 6.91 3.4 12/31/2013
Oakmark Equity & Income I 17,039,500 1.14 1,102,000 6.91 3.4 12/31/2013
Vanguard Total Stock Mkt Idx 19,650,997 1.24 3,744,841 23.54 0.21 03/31/2014
American Funds Invmt Co of Amer A 18,928,309 1.19 -741,000 -3.77 0.96 03/31/2014
American Funds Capital World G/I A 14,652,347 0.92 0 0.00 0.62 03/31/2014
Vanguard Institutional Index I 12,981,168 0.82 74,900 0.58 0.27 03/31/2014
Vanguard 500 Index Inv 12,842,770 0.81 126,282 0.99 0.27 03/31/2014
SPDR S&P 500 12,455,527 0.77 65,610 0.53 0.26 04/17/2014
American Funds Growth Fund of Amer A 10,607,600 0.67 0 0.00 0.28 03/31/2014
CREF Stock 9,573,186 0.60 4,759 0.05 0.27 02/28/2014
Loomis Sayles Bond Instl 7,165,814 0.45 0 0.00 1.16 02/28/2014
American Funds American Balanced A 7,500,000 0.47 0 0.00 0.37 03/31/2014
Invesco Comstock A 6,208,545 0.41 0 0.00 2.14 12/31/2013
American Funds NVIT Growth-Income II 7,237,508 0.46 -457,300 -5.94 1.07 03/31/2014
JPMorgan US Large Cap Core Plus A 6,528,187 0.41 -101,400 -1.53 2.43 02/28/2014
Oakmark I 5,300,000 0.35 0 0.00 1.79 12/31/2013
Fidelity SpartanĀ® 500 Index Inv 5,470,478 0.34 717,683 15.10 0.28 02/28/2014
T. Rowe Price Equity Income 4,660,006 0.31 4,660,006 New 0.64 12/31/2013
Mutual Shares Z 4,526,480 0.30 0 0.00 1.13 12/31/2013
American Funds Fundamental Invs A 5,000,000 0.31 0 0.00 0.26 03/31/2014