UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 11-K
☒ | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the fiscal year ended December 31, 2021
OR
☐ | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the Transition Period From to
Commission File Number 001-37845
A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
Microsoft Corporation
One Microsoft Way
Redmond, Washington 98052-6399
REQUIRED INFORMATION
The Microsoft Corporation Savings Plus 401(k) Plan (the Plan) is subject to the Employee Retirement Income Security Act of 1974, as amended (ERISA). Therefore, in lieu of the required information outlined as Items 1-3 of the Form 11-K, the statements of net assets available for benefits and the related statements of changes in net assets available for benefits as of and for the years ended December 31, 2021 and 2020, which have been prepared in accordance with the financial reporting requirements of ERISA, are attached hereto as Appendix 1 and incorporated herein by this reference.
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.
Microsoft Corporation Savings Plus 401(k) Plan | ||||
Date: June 23, 2022 |
|
/s/ KRISTEN ROBY DIMLOW | ||
Kristen Roby Dimlow | ||||
Member of 401(k) Administrative Committee | ||||
Date: June 23, 2022 |
/s/ DANIEL GOFF | |||
Daniel Goff | ||||
Member of 401(k) Administrative Committee | ||||
Date: June 23, 2022 |
/s/ ANITA MEHRA | |||
Anita Mehra | ||||
Member of 401(k) Administrative Committee |
APPENDIX 1
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM;
FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2021 AND 2020;
NOTES TO FINANCIAL STATEMENTS; AND
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR) AS OF DECEMBER 31, 2021
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
Page | ||||
1 | ||||
Financial Statements: |
||||
Statements of Net Assets Available for Benefits as of December 31, 2021 and 2020 |
2 | |||
3 | ||||
4 | ||||
Supplemental Schedule: |
||||
Supplemental Schedule of Assets (Held at End of Year) as of December 31, 2021 |
11 | |||
Exhibit: |
||||
NOTE: | All other schedules required by Section 2520.103-10 of the Department of Labors Rules and Regulations for Reporting and Disclosure under ERISA have been omitted because they are not applicable. |
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
To the Plan Participants and Plan Administrator of the Microsoft Corporation Savings Plus 401(k) Plan
Opinion on the Financial Statements
We have audited the accompanying statements of net assets available for benefits of the Microsoft Corporation Savings Plus 401(k) Plan (the Plan) as of December 31, 2021 and 2020, the related statements of changes in net assets available for benefits for the years then ended, and the related notes (collectively referred to as 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, 2021 and 2020, and the changes in net assets available for benefits for the years then ended, in conformity with accounting principles generally accepted in the United States of America.
Basis for Opinion
These financial statements are the responsibility of the Plans management. Our responsibility is to express an opinion on the Plans 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. Our audits included performing procedures to assess the risks 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 management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.
Report on Supplemental Schedule
The supplemental schedule of assets (held at end of year) as of December 31, 2021 has been subjected to audit procedures performed in conjunction with the audit of the Plans financial statements. The supplemental schedule is the responsibility of the Plans management. Our audit procedures included determining whether the supplemental schedule 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 schedule. In forming our opinion on the supplemental schedule, we evaluated whether the supplemental schedule, including its form and content, is presented in compliance with the Department of Labors Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, such schedule is fairly stated, in all material respects, in relation to the financial statements as a whole.
/s/ Deloitte & Touche LLP
Seattle, Washington
June 23, 2022
We have served as the auditor of the Plan since 1987.
1
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
December 31, | 2021 | 2020 | ||||||
ASSETS |
||||||||
Cash |
$ | 9,748,231 | $ | 13,583,789 | ||||
Investments held by trustee, at fair value |
47,805,902,852 | 38,161,818,818 | ||||||
Receivables: |
||||||||
Participant loans |
188,454,373 | 172,830,176 | ||||||
Other receivables |
16,686,328 | 15,846,052 | ||||||
|
|
|
||||||
Total receivables |
205,140,701 | 188,676,228 | ||||||
|
|
|
||||||
Total assets |
48,020,791,784 | 38,364,078,835 | ||||||
LIABILITIES |
||||||||
Operating payables |
7,637,439 | 6,081,698 | ||||||
Other payables |
7,994,361 | 14,518,790 | ||||||
|
|
|
||||||
Total liabilities |
15,631,800 | 20,600,488 | ||||||
|
|
|
||||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ | 48,005,159,984 | $ | 38,343,478,347 | ||||
|
|
|
|
Refer to accompanying notes.
2
STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
Year Ended December 31, | 2021 | 2020 | ||||||
ADDITIONS |
||||||||
Net investment income: |
||||||||
Interest and dividends |
$ | 67,765,879 | $ | 61,764,620 | ||||
Net increase in fair value of investments |
7,734,352,436 | 7,819,378,707 | ||||||
|
|
|
||||||
Net investment income |
7,802,118,315 | 7,881,143,327 | ||||||
|
|
|
|
|||||
Contributions: |
||||||||
Participant contributions |
2,707,460,814 | 2,080,721,878 | ||||||
Employer contributions |
870,172,034 | 717,410,483 | ||||||
|
|
|
||||||
Total contributions |
3,577,632,848 | 2,798,132,361 | ||||||
|
|
|
||||||
Total additions |
11,379,751,163 | 10,679,275,688 | ||||||
DEDUCTIONS |
||||||||
Benefits paid to participants |
1,812,250,297 | 1,357,746,762 | ||||||
|
|
|
||||||
NET INCREASE IN NET ASSETS BEFORE TRANSFERS |
9,567,500,866 | 9,321,528,926 | ||||||
Transfers in |
94,180,771 | 1,492,774,038 | ||||||
|
|
|
||||||
NET INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS |
9,661,681,637 | 10,814,302,964 | ||||||
NET ASSETS AVAILABLE FOR BENEFITS |
||||||||
Beginning of year |
38,343,478,347 | 27,529,175,383 | ||||||
|
|
|
||||||
End of year |
$ | 48,005,159,984 | $ | 38,343,478,347 | ||||
|
|
|
|
Refer to accompanying notes.
3
NOTE 1 DESCRIPTION OF THE PLAN AND ACCOUNTING POLICIES
Plan Description
The Microsoft Corporation Savings Plus 401(k) Plan (the Plan), a defined contribution plan, is sponsored by Microsoft Corporation (the Company or Microsoft). Participating employers included in the Plan are Microsoft Corporation; MOL Corporation; Vexcel Corporation; Microsoft Online, Inc.; Microsoft Payments, Inc.; Microsoft Open Technologies, Inc.; Microsoft Technology Licensing; Undead Labs; LinkedIn Corporation (LinkedIn) (effective July 1, 2020); GitHub, Inc. (GitHub) (effective October 9, 2020); and inXile Entertainment, Inc. (inXile) (effective July 9, 2021). These entities represent Microsoft or wholly owned subsidiaries of Microsoft. The Plan year is January 1 through December 31. The Plan is administered by the 401(k) Administrative Committee (the Plan Administrator) and subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (ERISA). Fidelity Management Trust Company (Fidelity) is the trustee and third-party administrator for the Plan. The information below summarizes certain aspects of the Plan as in effect during 2021 and 2020, and is intended to be a summary only. Plan participants should refer to the Summary Plan Description for more complete information.
Accounting Principles
The financial statements and accompanying notes are prepared in accordance with accounting principles generally accepted in the United States of America (GAAP).
Eligibility
Regular and retail services employees of participating employers who are on U.S. payroll and have reached age 18 may enroll in the Plan at any time.
Eligible Compensation
Eligible compensation includes wages, salary, bonuses, commissions, and overtime. Compensation does not include, for example, items such as amounts earned with respect to any equity-based compensation program, award, or benefit, reimbursements or other expense allowances, fringe benefits (cash and noncash), moving expenses, deferred compensation, welfare plan benefits including health or life insurance, or severance plan payments, unused accrued vacation payments, or bonuses or expense allowances which are not based upon performance as an employee.
Contributions
Participant Contributions
Participants may contribute to the Plan on a pre-tax and/or Roth basis using eligible compensation each pay period, subject to statutory and regulatory limitations. Participants reaching age 50 or older by the end of the Plan year may also make additional catch-up contributions to the Plan on a pre-tax and/or Roth basis. During both 2021 and 2020, the maximum annual 401(k) pre-tax and Roth contribution limit was $19,500, and the maximum annual catch-up contribution to the Plan was $6,500. Additionally, participants could contribute up to $28,750 for 2021 and $27,750 for 2020 on an after-tax basis. A participants aggregate contribution election (combined pre-tax, Roth, pre-tax catch-up, Roth catch-up, and after-tax) generally may not exceed 65 percent of his or her eligible compensation per pay period. Participants may elect to suspend or reinstate their contributions at any time. The Plan is required to return contributions received during the Plan year in excess of such limits. There were no excess contributions due to participants as of December 31, 2021 or 2020.
Participants may also choose to make rollover contributions to the Plan of amounts received from an eligible employer plan maintained by another company, including direct rollovers from such plans. Participants may also make rollover contributions to the plan from an individual retirement account or annuity described in Internal Revenue Code (IRC) Section 408(a) or 408(b) that is eligible to be rolled over and would otherwise be includible in gross income.
4
Employer Contributions
For all participating employers excluding inXile, the Company provides participants with a matching contribution on eligible pre-tax and/or Roth contributions of $0.50 for every $1.00 contributed. For inXile, the Company provides participants with a matching contribution on eligible pre-tax and/or Roth contributions of $0.25 for every $1.00 contributed. The matching contribution is provided for up to 50 percent, or 25 percent for inXile, of the maximum annual 401(k) pre-tax and Roth Internal Revenue Service (IRS) contribution limit (not including catch-up contributions). Participants do not receive a match on after-tax contributions.
Transfers
Metaswitch Networks Ltd. was acquired by the Company in 2020 and the Metaswitch Networks Corporation Profit Sharing and 401(k) Plan assets merged into the Plan in November 2021. Affirmed Networks Inc. was acquired by the Company in 2020 and the Affirmed Networks Inc. 401(k) Profit Sharing Plan and Trust assets merged into the Plan in October 2021. inXile was acquired by the Company in 2018 and the inXile Entertainment 401(k) Plan & Trust assets merged into the Plan in July 2021. GitHub was acquired by the Company in 2018 and the GitHub, Inc. 401(k) Plan & Trust assets merged into the Plan in October 2020. LinkedIn was acquired by the Company in 2016 and the LinkedIn Corporation 401(k) Profit Sharing Plan and Trust assets merged into the Plan in July 2020. Undead Labs was acquired by the Company in 2018 and the Undead Labs 401(k) Plan assets merged into the Plan in January 2020. The merged amounts are included as transfers in on the statement of changes in net assets available for benefits for the respective years ended December 31, 2021 and 2020.
Employee Stock Ownership Plan Feature
The Plan includes an Employee Stock Ownership Plan (ESOP) feature for the portion of the Plan designed to invest primarily in Microsoft Common Stock. The ESOP feature allows participants to either reinvest their cash dividends earned on Microsoft Common Stock or receive those dividends in cash. Amounts invested in Microsoft Common Stock are treated as being held through the ESOP, provided that at the time such amounts were received by the Plan (e.g., through contributions or transfers), the participants whose Plan accounts received such assets were employed by Microsoft or a corporation that is part of the same controlled group of corporations as Microsoft.
Participants who are not employed by an employer established as a corporation that is part of the same controlled group of corporations as Microsoft may not participate in the ESOP, but may have their Plan accounts invested in Microsoft Common Stock to the same extent as other participants. However, such participants that are not eligible to participate in the ESOP feature are not eligible to receive dividends on Microsoft Common Stock in cash paid directly to them. Instead, dividends paid on amounts they have invested in Microsoft Common Stock will automatically be reinvested in Microsoft Common Stock.
Effective January 1, 2016, the investment of new contributions or transfer of existing account holdings into Microsoft Common Stock within the Plan was discontinued. Participant accounts with existing Microsoft Common Stock can retain those holdings, and dividends on Microsoft Common Stock can continue to be reinvested or received in cash.
Participant Accounts
Each participants account is credited with (a) participant contributions and employer contributions, and (b) the allocation of investment earnings, gains and losses, and expenses, based on participant earnings or account balances, as defined. The benefit to which a participant is entitled is the benefit that can be provided from the participants vested account. All amounts in participant accounts are participant-directed. Participants may invest in various instruments including mutual funds, common collective trusts, and separately managed accounts. Participants also have the option to direct their investments through a brokerage account.
Vesting
Participants are fully vested in Plan accounts at all times.
Coronavirus Aid, Relief, and Economic Security (CARES) Act
During April 2020, the Plan implemented distribution and loan relief provisions in accordance with the CARES Act, which was enacted in March 2020. The provisions enabled participants negatively impacted by COVID-19 to take a penalty-free
5
distribution through December 30, 2020 and suspend outstanding scheduled loan payments until 2021, increased the maximum loan limit for loans taken as a result of COVID-19 through September 22, 2020, and suspended required minimum distributions for the 2020 calendar year, including 2020 payments that would have been required to be made by April 1, 2021, unless elected otherwise.
Distributions
Active participants may take a withdrawal from the Plan in the event of a financial hardship. A hardship withdrawal is limited to the amount necessary to meet the participants immediate financial need. Hardship withdrawals are further limited to pre-tax contributions, pre-tax catch-up contributions, after-tax contributions (including earnings thereon), Roth contributions, Roth catch-up contributions, and rollover contributions (excluding acquisition rollovers).
Active participants may also generally take a withdrawal at any time from their rollover and after-tax accounts within the Plan. After reaching age 591⁄2, active participants may withdraw all, or any portion, of the balance in their accounts. Distributions, in full or any portion, may also occur if the participant terminates employment, retires, becomes permanently disabled, or dies. Distributions of investments in Microsoft Common Stock may be taken in the form of Microsoft Common Stock or cash. Distributions may be made in installments.
Participants may also withdraw all, or any portion, of their pre-tax and Roth contributions during a leave of absence to perform qualified military service of at least 30 days, subject to a six-month suspension on future non-rollover contributions to the Plan, or if they elect a qualified reservist distribution. The distribution generally must be made in a single lump sum cash payment, except that distributions of investments in Microsoft Common Stock may be taken in the form of Microsoft Common Stock or cash.
In-Plan Roth Conversions
Active and terminated participants may convert any Plan balances (other than outstanding loans) to a Roth account within the Plan.
Administrative Expenses
Plan administrative expenses are paid by the Company to the extent not paid or offset by the Plan. Participants are responsible for fees associated with certain transactions or services they utilize, such as loan originations and maintenance, domestic relations order qualifications, dividend check processing, overnight check fees, and professional management service fees. Participants also pay commission charges to Fidelity for buying and selling Microsoft Common Stock within the Plan.
Plan Amendment and Termination
The Company has the right to amend or terminate the Plan. If the Plan is terminated, all account balances will be distributed in the form and manner determined by the Plan Administrator.
Risks and Uncertainties
The Plan utilizes various investment instruments, including common stock, mutual funds, common collective trusts, and separately managed accounts. Investment securities, in general, are exposed to various risks, such as interest rate risk, credit risk, and overall market volatility. Due to the level of risk associated with certain investment securities, including systemic market disruptions, the ongoing COVID-19 pandemic, and geopolitical events, 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.
Estimates and Assumptions
The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and changes therein. Actual results and outcomes may differ from managements estimates and assumptions due to risks and uncertainties. The Plan has no contingent assets or liabilities for any periods presented in these financial statements.
6
Valuation of Investments and Income (Loss) Recognition
Investments are recorded at fair value. Security transactions are accounted for as of the trade date. Dividend income is recorded on the ex-dividend date, and interest income is recorded as earned. Net increase in fair value of investments includes the Plans gains and losses on investments bought, sold, and held during the year.
Participant Loans
Participant loans are measured at their unpaid principal balance plus any accrued but unpaid interest, and participant loans deemed distributed due to default are included in benefits paid to participants on the statements of changes in net assets available for benefits.
Receivables and Payables
As of December 31, 2021 and 2020, operating payables primarily consisted of accrued investment management expenses for the separately managed accounts. Other receivables and payables primarily consisted of unsettled trades. Other receivables also included accrued interest.
NOTE 2 FINANCIAL INSTRUMENTS
The Plan accounts for certain assets and liabilities at fair value. The hierarchy below lists three levels of fair value based on the extent to which inputs used in measuring fair value are observable in the market. The Plan categorizes each of its fair value measurements in one of these three levels based on the lowest level input that is significant to the fair value measurement in its entirety. These levels are:
| Level 1inputs are based upon unadjusted quoted prices for identical instruments in active markets. The Plans Level 1 non-derivative investments primarily include domestic and international equities, mutual funds, and U.S. government securities. The Plans Level 1 derivative assets include those actively traded on exchanges. |
| Level 2inputs are based upon quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, and model-based valuation techniques (e.g. the Black-Scholes model) for which all significant inputs are observable in the market or can be corroborated by observable market data for substantially the full term of the assets or liabilities. Where applicable, these models project future cash flows and discount the future amounts to a present value using market-based observable inputs including interest rate curves, credit spreads, foreign exchange rates, and forward and spot prices for currencies and commodities. The Plans Level 2 non-derivative investments consist primarily of mutual funds in the Plans separately managed accounts. These mutual funds are registered under the Investment Company Act of 1940 but are not registered under the Securities Act of 1933 and the prices are made available directly from the investment manager. The Plans Level 2 derivative assets and liabilities primarily include certain over-the-counter option and currency contracts. |
| Level 3inputs are generally unobservable and typically reflect managements estimates of assumptions that market participants would use in pricing the asset or liability. The fair values are therefore determined using model-based techniques, including option pricing models and discounted cash flow models. As of December 31, 2021 and 2020, the Plan did not hold any financial instruments categorized as Level 3. |
Mutual funds are valued at the closing price as reported by the fund. Common stocks are valued at the closing price reported on the active markets on which the individual securities are traded. Brokerage account holdings include a variety of common stocks and mutual funds.
Common collective trusts are valued using the Net Asset Value (NAV) as a practical expedient and are not categorized in the fair value hierarchy. NAV is provided by the trustee and is based on the fair value of the underlying investments held by the fund less its liabilities. In the event the Plan were to initiate a full redemption of a common collective trust, the investment advisor reserves the right to temporarily delay withdrawal from the common collective trust in order to ensure that securities liquidations will be carried out in an orderly business manner. The common collective trusts have no unfunded commitments, other redemption restrictions, or redemption notice periods. The underlying portfolios of the common collective trusts are comprised of a mix of stocks, bonds, commodities, and cash.
7
Two of the common collective trusts, the State Street Short Term Investment Fund (Fid Bank Trust St Inv Fund) and the State Street Government Short Term Investment Fund (SSBK Govt STIF Fund), do not file as direct filing entities with the Department of Labor. The investment strategy of both of these funds is to provide safety of principal, daily liquidity, and a competitive yield over the long term. The Fid Bank Trust St Inv Fund invests primarily in short term instruments such as certificates of deposit and commercial paper. The SSBK Govt STIF Fund invests primarily in U.S. Treasury obligations.
Financial Instruments Measured at Fair Value
December 31, 2021 | Level 1 | Level 2 | Total | |||||||||
|
||||||||||||
Mutual funds |
$ | 783,069,968 | $ | 0 | $ | 783,069,968 | ||||||
Microsoft Common Stock |
4,765,882,486 | 0 | 4,765,882,486 | |||||||||
Separately managed accounts: |
||||||||||||
Common stock |
5,707,711,505 | 0 | 5,707,711,505 | |||||||||
Mutual funds |
0 | 1,403,399,778 | 1,403,399,778 | |||||||||
Other |
0 | 67,356,869 | 67,356,869 | |||||||||
Brokerage accounts |
3,079,314,216 | 50,921,944 | 3,130,236,160 | |||||||||
|
|
|
|
|
||||||||
Total |
$ | 14,335,978,175 | $ | 1,521,678,591 | 15,857,656,766 | |||||||
Common collective trusts measured at NAV |
31,494,017,850 | |||||||||||
Separately managed accounts: |
||||||||||||
Common collective trusts measured at NAV |
454,228,236 | |||||||||||
|
|
|||||||||||
Total Investments |
$ | 47,805,902,852 | ||||||||||
|
|
|||||||||||
December 31, 2020 | Level 1 | Level 2 | Total | |||||||||
|
||||||||||||
Mutual funds |
$ | 829,296,690 | $ | 0 | $ | 829,296,690 | ||||||
Microsoft Common Stock |
3,341,097,553 | 0 | 3,341,097,553 | |||||||||
Separately managed accounts: |
||||||||||||
Common stock |
4,960,569,581 | 0 | 4,960,569,581 | |||||||||
Mutual funds |
0 | 1,375,842,819 | 1,375,842,819 | |||||||||
Other |
207,422,564 | 45,005,846 | 252,428,410 | |||||||||
Brokerage accounts |
2,336,664,367 | 44,184,154 | 2,380,848,521 | |||||||||
|
|
|
|
|
||||||||
Total |
$ | 11,675,050,755 | $ | 1,465,032,819 | 13,140,083,574 | |||||||
Common collective trusts measured at NAV |
25,021,735,244 | |||||||||||
|
|
|||||||||||
Total Investments |
$ | 38,161,818,818 | ||||||||||
|
|
NOTE 3 DERIVATIVES
Investment managers acting under the Plan use derivative instruments to manage risks related to foreign currencies and interest rates, to enhance investment returns for the Plan, and to facilitate Plan portfolio diversification. The Plans derivatives consisted of over-the-counter foreign exchange forward contracts and exchange-traded futures contracts, as well as put and call options, for which no hedge accounting treatment is applied. The related notional amounts, gross fair values, and amounts recognized in earnings were immaterial as of and for the years ended December 31, 2021 and 2020. These derivative instruments are primarily a component of the Other caption of separately managed accounts in Note 2 Financial Instruments.
NOTE 4 PARTICIPANT LOANS
Participant loans are available in $100 increments ranging from $1,000 to $50,000. The maximum loan amount is the lesser of (a) 50 percent of the vested account balance, reduced by the current outstanding balance of all other loans from the Plan; or (b) $50,000, reduced by: (1) the current outstanding balance of all other loans from the Plan, and (2) the excess (if any) of all Plan loans during the previous 12 months over the current outstanding balance of Plan loans. When determining the maximum loan amount available under the Plan, outstanding loan balances under any subsidiary and affiliate Microsoft retirement plans are considered in conjunction with the Plan. Participants are limited to two loans one Primary Residence Loan and one General Loan. The term of a Primary Residence Loan may not exceed 15 years (or 30 years for certain acquired legacy loans) or be less than 12 months. The term of a General Loan may not exceed five years (or 15 years for certain acquired legacy loans) or be less than 12 months.
8
The interest rate for participant loans is 1 percent plus the prime rate on corporate loans. The range of interest rates for outstanding Primary Residence Loans as of December 31, 2021 was 3.25 percent to 9.00 percent, maturing at various dates through October 2046. The range of interest rates for outstanding General Loans as of December 31, 2021 was 4.25 percent to 6.50 percent, maturing at various dates through January 2027.
Loan repayments are made through after-tax payroll deductions. Terminated employees generally have 60 days to elect to continue to make loan repayments or pay off the loan in full. Failure of the terminated employee to establish a loan repayment service or payoff the loan in full during this 60-day window generally results in a default of the loan, which is taxable income to the participant, with a possible 10 percent early withdrawal penalty. Terminated employees who roll over their Plan account balance to an individual retirement account (IRA), Roth IRA, or other employer plan during this 60-day window may avoid such taxable income and 10 percent early withdrawal penalty if they pay off the outstanding loan balance to the rollover recipient IRA custodian or employer plan by the due date (including extensions) for filing their federal income tax return for the year in which the rollover occurred.
NOTE 5 TAX STATUS
The IRS has determined and informed the Plan, by a letter dated August 21, 2014, that the Plan is qualified as a tax-exempt plan under the appropriate sections of the IRC. The determination letter covered Plan amendments adopted from September 17, 2010 through August 5, 2014, and the trust agreement with Fidelity adopted on July 19, 2013. The Plan has been amended since receiving the determination letter and was restated effective January 1, 2022. A new determination letter application was submitted to the IRS in February 2022. The Plan Administrator believes that the Plan is currently designed and operated in compliance with the applicable requirements of the IRC. Therefore, the Plan is tax-exempt as of the financial statement date and no provision for income taxes has been recorded in the financial statements.
NOTE 6 PARTY-IN-INTEREST TRANSACTIONS
Plan investments include common collective trusts that are managed by affiliates of Fidelity; therefore, these transactions qualify as party-in-interest transactions. Fees paid for investment management services were included as a reduction of the return earned on each fund.
Transactions in Microsoft Common Stock also qualify as party-in-interest transactions. As of December 31, 2021 and 2020, the Plan held 14,170,678 shares of Microsoft Common Stock valued at $4,765,882,486 and 15,021,570 shares of Microsoft Common Stock valued at $3,341,097,553, respectively. During the years ended December 31, 2021 and 2020, the Plan recorded Microsoft Common Stock dividend income of $33,517,903 and $32,555,519, respectively.
9
NOTE 7 RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500
The following is a reconciliation of net assets available for benefits per the financial statements to net assets per the Form 5500, which is the annual return/report for the Plan:
December 31, | 2021 | 2020 | ||||||
Net assets available for benefits per the financial statements |
$ | 48,005,159,984 | $ | 38,343,478,347 | ||||
Less: benefits payable |
(5,115,908 | ) | (3,226,841 | ) | ||||
|
|
|
||||||
Net assets per the Form 5500 |
$ | 48,000,044,076 | $ | 38,340,251,506 | ||||
|
|
|
|
The following is a reconciliation of benefits paid to participants per the financial statements to the Form 5500:
Year Ended December 31, | 2021 | 2020 | ||||||
Benefits paid to participants per the financial statements |
$ | 1,812,250,297 | $ | 1,357,746,762 | ||||
Plus: increase in benefits payable at year end |
1,889,067 | 448,280 | ||||||
|
|
|
||||||
Benefits paid to participants per the Form 5500 |
$ | 1,814,139,364 | $ | 1,358,195,042 | ||||
|
|
|
|
Benefits payable are recorded on the Form 5500 for payments to participants who requested payment by December 31, but had not been paid as of that date.
10
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
BROKERAGE ACCOUNTS |
||||||||||||
|
||||||||||||
BrokerageLink ** |
3,130,236,160 | $ | 3,130,236,160 | |||||||||
COMMON COLLECTIVE TRUSTS |
||||||||||||
|
||||||||||||
BlackRock LifePath Index 2025 |
9,197,229 | 134,090,083 | ||||||||||
BlackRock LifePath Index 2030 |
128,200,157 | 1,955,231,873 | ||||||||||
BlackRock LifePath Index 2035 |
18,392,223 | 292,686,474 | ||||||||||
BlackRock LifePath Index 2040 |
204,270,537 | 3,373,875,182 | ||||||||||
BlackRock LifePath Index 2045 |
26,188,769 | 445,303,357 | ||||||||||
BlackRock LifePath Index 2050 |
194,767,231 | 3,359,773,694 | ||||||||||
BlackRock LifePath Index 2055 |
30,162,569 | 521,616,388 | ||||||||||
BlackRock LifePath Index 2060 |
57,665,099 | 996,631,665 | ||||||||||
BlackRock LifePath Index 2065 |
5,897,334 | 83,687,303 | ||||||||||
BlackRock LifePath Index Retirement |
46,823,628 | 652,370,202 | ||||||||||
BlackRock Short-term Investment Fund |
807,776,060 | 807,776,060 | ||||||||||
Fidelity Contrafund Pool Class 3 * |
79,289,311 | 2,676,014,243 | ||||||||||
Fidelity Growth Company Pool Class 3 * |
102,055,979 | 5,383,452,917 | ||||||||||
Vanguard Russell 1000 Growth Index Trust |
6,379,868 | 2,312,829,817 | ||||||||||
Vanguard Russell 1000 Value Index Trust |
7,668,088 | 1,643,808,104 | ||||||||||
Vanguard Russell 2000 Growth Index Trust |
6,233,778 | 1,472,231,319 | ||||||||||
Vanguard S&P 500 Index Trust |
29,839,522 | 5,380,662,682 | ||||||||||
Wells Fargo Stable Fund C |
34,639 | 1,976,487 | ||||||||||
EMPLOYER STOCK |
||||||||||||
|
||||||||||||
Microsoft Common Stock * |
14,170,678 | 4,765,882,486 | ||||||||||
MUTUAL FUNDS |
||||||||||||
|
||||||||||||
PIMCO All Asset All Authority |
5,801,832 | 47,865,111 | ||||||||||
PIMCO Inflation Response Multi-Asset Response |
7,202,539 | 65,110,950 | ||||||||||
Vanguard Short-Term Bond Index Fund (Signal) |
63,156,824 | 670,093,907 | ||||||||||
SEPARATELY MANAGED ACCOUNTS |
||||||||||||
|
||||||||||||
Artisan Mid Cap Account |
||||||||||||
Currency |
||||||||||||
DANISH KRONE |
1,691 | 259 | ||||||||||
SWISS FRANC |
110 | 121 | ||||||||||
Publicly-traded Common Stock |
||||||||||||
ADVANCED DRAINAGE SYSTEMS INC |
183,638 | 24,998,641 | ||||||||||
AGILENT TECHNOLOGIES INC |
228,072 | 36,411,695 | ||||||||||
APTIV PLC |
314,195 | 51,826,465 | ||||||||||
ARGENX SE SPONSORED ADR |
149,138 | 52,226,636 | ||||||||||
ARISTA NETWORKS INC |
353,956 | 50,881,175 | ||||||||||
ASCENDIS PHARMA AS SPON ADR |
503,216 | 67,697,648 | ||||||||||
ATLASSIAN CORP PLC CLS A |
228,173 | 87,000,083 | ||||||||||
AZENTA INC |
246,644 | 25,431,463 |
11
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
BALL CORP |
336,806 | 32,424,314 | ||||||||||
BIGCOMMERCE HOLDINGS INC |
473,201 | 16,737,119 | ||||||||||
BILL.COM HOLDINGS INC |
104,641 | 26,071,305 | ||||||||||
BIONTECH SE ADR |
61,984 | 15,979,475 | ||||||||||
BURLINGTON STORES INC |
182,229 | 53,121,576 | ||||||||||
CATALENT INC |
515,255 | 65,968,098 | ||||||||||
CERIDIAN HCM HLDG INC |
465,921 | 48,670,108 | ||||||||||
CHEGG INC |
232,852 | 7,148,556 | ||||||||||
CHIPOTLE MEXICAN GRILL INC |
29,621 | 51,784,913 | ||||||||||
COGNEX CORP |
258,514 | 20,102,049 | ||||||||||
DATADOG INC CL A |
339,463 | 60,461,755 | ||||||||||
DEXCOM INC |
77,781 | 41,764,508 | ||||||||||
DRAFTKINGS INC CL A |
231,994 | 6,372,875 | ||||||||||
ENTEGRIS INC |
270,916 | 37,543,539 | ||||||||||
EVOTEC SE |
420,124 | 20,328,225 | ||||||||||
EXACT SCIENCES CORP |
157,328 | 12,244,838 | ||||||||||
FIRST REPUBLIC BANK |
195,429 | 40,358,043 | ||||||||||
FORTIVE CORP |
607,544 | 46,349,532 | ||||||||||
GENERAC HOLDINGS INC |
128,965 | 45,385,363 | ||||||||||
GENMAB AS |
98,738 | 39,754,892 | ||||||||||
GLOBAL PAYMENTS INC |
461,648 | 62,405,577 | ||||||||||
GLOBAL-E ONLINE LTD |
335,408 | 21,261,513 | ||||||||||
HUBSPOT INC |
168,930 | 111,350,210 | ||||||||||
INGERSOLL RAND INC |
1,082,549 | 66,977,307 | ||||||||||
LATTICE SEMICONDUCTOR CORP |
740,016 | 57,025,633 | ||||||||||
LPL FINL HLDGS INC |
186,905 | 29,921,621 | ||||||||||
LULULEMON ATHLETICA INC |
62,384 | 24,420,217 | ||||||||||
LYFT INC |
634,228 | 27,100,562 | ||||||||||
MARQETA INC CL A |
238,188 | 4,089,688 | ||||||||||
MATCH GROUP INC |
376,185 | 49,750,466 | ||||||||||
MONOLITHIC POWER SYS INC |
32,189 | 15,879,799 | ||||||||||
MSCI INC |
94,996 | 58,203,099 | ||||||||||
NASDAQ INC |
244,023 | 51,247,270 | ||||||||||
NEOGENOMICS INC |
475,079 | 16,209,695 | ||||||||||
NEW YORK TIMES CO CL A |
686,880 | 33,176,304 | ||||||||||
ON SEMICONDUCTOR CORP |
403,433 | 27,401,169 | ||||||||||
ROKU INC CLASS A |
138,330 | 31,566,906 | ||||||||||
SOFI TECHNOLOGIES INC |
899,289 | 14,217,759 | ||||||||||
SPOTIFY TECHNOLOGY SA |
52,916 | 12,383,931 | ||||||||||
SVB FINL GROUP |
93,296 | 63,277,079 | ||||||||||
SYNOPSYS INC |
130,099 | 47,941,482 | ||||||||||
TELEDYNE TECHNOLOGIES INC |
91,998 | 40,193,006 | ||||||||||
TOAST INC |
289,197 | 10,038,028 | ||||||||||
TRADEWEB MARKETS INC A |
536,733 | 53,748,443 | ||||||||||
TRANSUNION |
384,014 | 45,536,380 | ||||||||||
TREX CO INC |
152,272 | 20,561,288 | ||||||||||
TRIMBLE INC |
441,221 | 38,470,059 |
12
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
TYLER TECHNOLOGIES INC |
55,753 | 29,992,326 | ||||||||||
VEEVA SYS INC CL A |
293,715 | 75,038,308 | ||||||||||
WAYFAIR INC |
62,569 | 11,886,233 | ||||||||||
WEST PHARMACEUTICAL SVCS INC |
110,031 | 51,605,639 | ||||||||||
YETI HOLDINGS INC |
302,537 | 25,059,140 | ||||||||||
ZOOMINFO TECHNOLOGIES INC |
572,379 | 36,746,732 | ||||||||||
ZSCALER INC |
172,593 | 55,459,309 | ||||||||||
ZYNGA INC |
7,284,368 | 46,619,955 | ||||||||||
Common Collective Trusts |
||||||||||||
SSBK GOVT STIF FUND |
55,474,878 | 55,474,878 | ||||||||||
|
|
|||||||||||
Artisan Mid Cap Account Total |
2,507,282,280 | |||||||||||
SMID Cap Value Account |
||||||||||||
Publicly-traded Common Stock |
||||||||||||
1 800 FLOWERS.COM INC CL A |
66,468 | 1,553,357 | ||||||||||
2SEVENTY BIO INC-W/I |
488 | 12,507 | ||||||||||
AAR CORP |
8,027 | 313,294 | ||||||||||
AARONS CO INC/THE |
4,647 | 114,549 | ||||||||||
ABERCROMBIE & FITCH CO CL A |
18,444 | 642,405 | ||||||||||
ABM INDUSTRIES INC |
14,687 | 599,964 | ||||||||||
ACACIA RESEARCH - ACACIA TECH |
8,286 | 42,507 | ||||||||||
ACADIA HEALTHCARE CO INC |
18,206 | 1,105,104 | ||||||||||
ACCO BRANDS CORP |
24,875 | 205,468 | ||||||||||
ACHIEVE LIFE SCIENCES INC |
1,853 | 14,416 | ||||||||||
ACI WORLDWIDE INC |
77,165 | 2,677,626 | ||||||||||
ACME UNITED CORP |
770 | 25,949 | ||||||||||
ACORDA THERAPEUTICS INC |
1,403 | 3,353 | ||||||||||
ACTINIUM PHARMACEUTICALS INC |
261 | 1,569 | ||||||||||
ACUITY BRANDS INC |
315 | 66,692 | ||||||||||
ACUSHNET HOLDINGS CORP |
17,439 | 925,662 | ||||||||||
ADA-ES INC |
6,360 | 42,103 | ||||||||||
ADAMS RESOURCES AND ENERGY INC |
164 | 4,561 | ||||||||||
ADDUS HOMECARE CORP |
3,792 | 354,590 | ||||||||||
ADIENT PLC |
17,442 | 835,123 | ||||||||||
ADT INC |
279,361 | 2,349,426 | ||||||||||
ADTALEM GLOBAL EDUCATION INC |
72,481 | 2,142,538 | ||||||||||
ADTRAN INC |
15,316 | 349,664 | ||||||||||
ADVANCED ENERGY INDUSTRIES INC |
2,979 | 271,268 | ||||||||||
ADVANSIX INC |
9,138 | 431,771 | ||||||||||
AEROVIRONMENT INC |
2,604 | 161,526 | ||||||||||
AFFILIATED MANAGERS GRP INC |
26,002 | 4,277,589 | ||||||||||
AGCO CORP |
12,815 | 1,486,796 | ||||||||||
AGIOS PHARMACEUTICALS INC |
6,727 | 221,116 | ||||||||||
AGROFRESH SOLUTIONS INC |
5,850 | 11,642 | ||||||||||
AIM IMMUNOTECH INC |
4,594 | 4,226 | ||||||||||
AIR LEASE CORP CL A |
32,937 | 1,456,804 | ||||||||||
AIR TRANSPORT SERVICES GROUP |
15,792 | 463,969 |
13
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
AIRGAIN INC |
1,538 | 16,349 | ||||||||||
AKEBIA THERAPEUTICS INC |
30,260 | 68,388 | ||||||||||
AKERNA CORP |
1,457 | 2,550 | ||||||||||
ALAMO GROUP INC |
4,521 | 665,401 | ||||||||||
ALBANY INTERNATIONAL CORP CL A |
7,498 | 663,198 | ||||||||||
ALCOA CORP |
43,337 | 2,582,018 | ||||||||||
ALERISLIFE INC |
7,429 | 21,916 | ||||||||||
ALERUS FINANCIAL CORP |
3,199 | 93,667 | ||||||||||
ALEXION PHARMACEUTICALS INC (CVR) RT |
65,534 | 30,146 | ||||||||||
ALICO INC |
2,096 | 77,615 | ||||||||||
ALKERMES PLC |
10,838 | 252,092 | ||||||||||
ALLEGHANY CORP DEL |
3,133 | 2,091,559 | ||||||||||
ALLEGHENY TECHNOLOGIES INC |
23,326 | 371,583 | ||||||||||
ALLEGIANCE BANCSHARES INC |
5,253 | 221,729 | ||||||||||
ALLEGIANT TRAVEL CO |
872 | 163,099 | ||||||||||
ALLIANCE DATA SYSTEMS CORP |
5,321 | 354,219 | ||||||||||
ALLIED MOTION TECH INC |
2,877 | 104,982 | ||||||||||
ALLSCRIPTS HLTHCARE SOLS INC |
46,343 | 855,028 | ||||||||||
ALPHA & OMEGA SEMICNDTR LTD |
5,648 | 342,043 | ||||||||||
ALPHA METALLURGICAL RESOURCES INC |
4,794 | 292,674 | ||||||||||
ALTA EQUIPMENT GROUP INC |
5,414 | 79,261 | ||||||||||
ALTIMMUNE INC |
3,426 | 31,382 | ||||||||||
ALTO INGREDIENTS INC |
10,794 | 51,919 | ||||||||||
ALTRA INDUSTRIAL MOTION CORP |
11,358 | 585,732 | ||||||||||
AMALGAMATED FINANCIAL CORP |
5,424 | 90,960 | ||||||||||
A-MARK PRECIOUS METALS INC |
2,040 | 124,644 | ||||||||||
AMBAC FINANCIAL GROUP INC |
10,823 | 173,709 | ||||||||||
AMC NETWORKS INC CL A |
5,319 | 183,186 | ||||||||||
AMERANT BANCORP INC |
6,169 | 213,139 | ||||||||||
AMERCO INC |
3,106 | 2,255,670 | ||||||||||
AMERICAN AXLE & MFG HLDGS INC |
29,222 | 272,641 | ||||||||||
AMERICAN EAGLE OUTFITTERS INC |
37,527 | 950,184 | ||||||||||
AMERICAN EQY INVT LIFE HLD CO |
23,748 | 924,272 | ||||||||||
AMERICAN FINL GROUP INC OHIO |
3,443 | 472,793 | ||||||||||
AMERICAN NATIONAL GROUP INC |
4,860 | 917,762 | ||||||||||
AMERICAN NATL BANKSHARES INC |
3,417 | 128,753 | ||||||||||
AMERICAN OUTDOOR BRANDS INC |
4,271 | 85,121 | ||||||||||
AMERICAN PUBLIC EDUCATION INC |
5,038 | 112,096 | ||||||||||
AMERICAN VANGUARD CORP |
8,942 | 146,559 | ||||||||||
AMERICAN WOODMARK |
4,190 | 273,188 | ||||||||||
AMERICAS CAR MART INC |
1,682 | 172,237 | ||||||||||
AMERIS BANCORP |
16,620 | 825,682 | ||||||||||
AMES NATIONAL CORP |
1,125 | 27,551 | ||||||||||
AMKOR TECHNOLOGY INC |
76,817 | 1,904,293 | ||||||||||
AMPCO-PITTSBURG CORP |
4,928 | 24,640 | ||||||||||
AMPHASTAR PHARMACEUTICALS INC |
10,113 | 235,532 | ||||||||||
AMTECH SYSTEMS INC |
5,802 | 57,324 |
14
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
ANAPTYSBIO INC |
6,996 | 243,111 | ||||||||||
ANDERSONS INC |
10,769 | 416,868 | ||||||||||
ANGIODYNAMICS INC |
12,249 | 337,827 | ||||||||||
ANI PHARMACEUTICALS INC |
2,081 | 95,892 | ||||||||||
ANIKA THERAPEUTICS INC |
5,645 | 202,260 | ||||||||||
ANTERO MIDSTREAM CORP |
89,367 | 865,073 | ||||||||||
ANTERO RES CORP |
71,822 | 1,256,885 | ||||||||||
API GROUP CORP |
2,124 | 54,735 | ||||||||||
APOGEE ENTERPRISES INC |
8,421 | 405,471 | ||||||||||
APPLIED INDUSTRIAL TECH INC |
3,380 | 347,126 | ||||||||||
APPLIED OPTOELECTRONICS INC |
1,108 | 5,695 | ||||||||||
ARCBEST CORP |
5,608 | 672,119 | ||||||||||
ARCH RESOURCES INC CL A |
3,067 | 280,078 | ||||||||||
ARCHROCK INC |
43,517 | 325,507 | ||||||||||
ARCONIC CORP |
22,886 | 755,467 | ||||||||||
ARCOSA INC |
39,220 | 2,066,894 | ||||||||||
ARCUTIS BIOTHERAPEUTICS INC |
595 | 12,340 | ||||||||||
ARDMORE SHIPPING CORP |
9,215 | 31,147 | ||||||||||
ARGAN INC |
3,498 | 135,338 | ||||||||||
ARGO GROUP INTL |
10,253 | 595,802 | ||||||||||
ARK RESTAURANTS CORP |
298 | 4,962 | ||||||||||
ARMADA HOFFLER PROPERTIES INC |
155,175 | 2,361,764 | ||||||||||
ARMSTRONG FLOORING INC |
5,765 | 11,415 | ||||||||||
ARROW ELECTRONICS INC |
23,923 | 3,212,141 | ||||||||||
ARROW FINANCIAL CORP |
3,749 | 132,077 | ||||||||||
ARTIVION INC |
3,923 | 79,833 | ||||||||||
ASBURY AUTOMOTIVE GROUP INC |
2,933 | 506,617 | ||||||||||
ASGN INC |
4,366 | 538,764 | ||||||||||
ASHLAND GLOBAL HOLDINGS INC |
10,650 | 1,146,579 | ||||||||||
ASSEMBLY BIOSCIENCES INC |
5,146 | 11,990 | ||||||||||
ASSETMARK FINANCIAL HOLDINGS INC |
220 | 5,766 | ||||||||||
ASSOCIATED BANC CORP |
54,898 | 1,240,146 | ||||||||||
ASSURED GUARANTY LTD |
23,546 | 1,182,009 | ||||||||||
ASTEC INDUSTRIES INC |
6,630 | 459,260 | ||||||||||
ASTRONICS CORP |
7,761 | 93,132 | ||||||||||
ASTRONICS CORP CL B |
1,109 | 13,319 | ||||||||||
ASURE SOFTWARE INC |
5,362 | 41,984 | ||||||||||
ATHENE HOLDING LTD |
36,918 | 3,076,377 | ||||||||||
ATLANTIC CAPITAL BANCSHARES INC |
5,294 | 152,308 | ||||||||||
ATLANTIC UN BANKSHARES CORP |
17,291 | 644,781 | ||||||||||
ATLAS AIR WORLD |
9,888 | 930,659 | ||||||||||
ATMOS ENERGY CORP |
28,892 | 3,027,015 | ||||||||||
ATN INTERNATIONAL INC |
4,177 | 166,871 | ||||||||||
ATYR PHARMA INC |
1,787 | 13,349 | ||||||||||
AUDACY INC CORP CL A |
35,902 | 92,268 | ||||||||||
AUTOLIV INC |
6,335 | 655,102 | ||||||||||
AUTONATION INC |
27,805 | 3,249,014 |
15
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
AVANOS MEDICAL INC |
10,803 | 374,540 | ||||||||||
AVERY DENNISON CORP |
11,361 | 2,460,452 | ||||||||||
AVIAT NETWORKS INC |
2,986 | 95,791 | ||||||||||
AVIENT CORP |
1,086 | 60,762 | ||||||||||
AVNET INC |
30,974 | 1,277,058 | ||||||||||
AWARE INC MASS |
2,540 | 8,001 | ||||||||||
AXALTA COATING SYSTEMS LTD |
101,675 | 3,367,476 | ||||||||||
AXCELIS TECHNOLOGIES INC |
8,783 | 654,860 | ||||||||||
AXIS CAPITAL HOLDINGS LTD |
16,250 | 885,138 | ||||||||||
AXOS FINANCIAL INC |
8,860 | 495,363 | ||||||||||
AXT INC |
13,774 | 121,349 | ||||||||||
AZENTA INC |
26,619 | 2,744,685 | ||||||||||
AZZ INC |
6,040 | 333,952 | ||||||||||
B&G FOODS INC |
2,434 | 74,797 | ||||||||||
BALLANTYNE STRONG INC |
1,943 | 5,615 | ||||||||||
BANC OF CALIFORNIA INC |
15,572 | 305,523 | ||||||||||
BANCFIRST CORP |
1,026 | 72,395 | ||||||||||
BANCORP INC DEL |
18,525 | 468,868 | ||||||||||
BANK MARIN BANCORP |
3,850 | 143,336 | ||||||||||
BANK OF NT BUTTERFIELD&SON LTD |
450 | 17,150 | ||||||||||
BANK OZK |
41,723 | 1,941,371 | ||||||||||
BANKFINANCIAL CORP |
4,728 | 50,448 | ||||||||||
BANKUNITED INC |
18,600 | 786,966 | ||||||||||
BANKWELL FINANCIAL GROUP INC |
1,361 | 44,695 | ||||||||||
BANNER CORP |
11,646 | 706,563 | ||||||||||
BAR HARBOR BANKSHARES |
3,554 | 102,817 | ||||||||||
BARNES & NOBLE EDUCATION INC |
13,535 | 92,173 | ||||||||||
BARNES GROUP INC |
12,846 | 598,495 | ||||||||||
BARRETT BUSINES SERVICES |
833 | 57,527 | ||||||||||
BASSETT FURNITURE INDS INC |
3,250 | 54,503 | ||||||||||
BAYCOM CORP |
2,114 | 39,659 | ||||||||||
BCB BANCORP INC |
5,502 | 84,896 | ||||||||||
BEACON ROOFING SUPPLY INC |
16,890 | 968,642 | ||||||||||
BEAZER HOMES USA INC |
8,077 | 187,548 | ||||||||||
BED BATH & BEYOND INC |
24,693 | 360,024 | ||||||||||
BEL FUSE INC NV CL B |
3,387 | 43,794 | ||||||||||
BELDEN INC |
7,182 | 472,073 | ||||||||||
BENCHMARK ELECTRONICS INC |
9,368 | 253,873 | ||||||||||
BERKSHIRE HILLS BANCORP INC |
10,263 | 291,777 | ||||||||||
BERRY GLOBAL GROUP INC |
20,889 | 1,541,190 | ||||||||||
BERRY PETROLEUM CORP |
20,609 | 173,528 | ||||||||||
BGSF INC |
3,387 | 48,603 | ||||||||||
BIG 5 SPORTING GOODS CORP |
6,672 | 126,835 | ||||||||||
BIG LOTS INC |
8,534 | 384,457 | ||||||||||
BIGLARI HLDGS INC CL A |
16 | 11,120 | ||||||||||
BIGLARI HLDGS INC CL B |
608 | 86,683 | ||||||||||
BIO RAD LABS CL A |
1,777 | 1,342,648 |
16
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
BIODELIVERY SCIENCES INTL INC |
9,843 | 30,513 | ||||||||||
BJS RESTAURANTS INC |
2,504 | 86,513 | ||||||||||
BLUCORA INC |
11,878 | 205,727 | ||||||||||
BLUE APRON HOLDINGS INC CL A |
1,792 | 12,060 | ||||||||||
BLUE APRON HOLDINGS INC RT 10/28/21 |
3,612 | 0 | ||||||||||
BLUE RIDGE BANKSHARES INC |
1,017 | 18,204 | ||||||||||
BLUEBIRD BIO INC |
1,464 | 14,625 | ||||||||||
BLUEGREEN VACATIONS HOLDING CORP CL A |
2,867 | 100,632 | ||||||||||
BLUELINX HOLDINGS INC |
1,538 | 147,279 | ||||||||||
BM TECHNOLOGIES INC |
962 | 8,860 | ||||||||||
BOISE CASCADE CO |
9,532 | 678,678 | ||||||||||
BOK FINANCIAL COMMON NEW |
41,692 | 4,398,089 | ||||||||||
BOOT BARN HOLDINGS INC |
3,776 | 464,637 | ||||||||||
BORGWARNER INC |
98,187 | 4,425,288 | ||||||||||
BOSTON OMAHA CORP |
6,712 | 192,836 | ||||||||||
BOTTOMLINE TECHNOLOGIES INC |
287 | 16,207 | ||||||||||
BOYD GAMING CORP |
34,307 | 2,249,510 | ||||||||||
BRADY CORPORATION CL A |
7,197 | 387,918 | ||||||||||
BRIDGEWATER BANCSHARES INC |
3,808 | 67,364 | ||||||||||
BRIGHAM MINERALS INC CL A |
1,717 | 36,212 | ||||||||||
BRIGHTHOUSE FINANCIAL INC |
17,547 | 908,935 | ||||||||||
BRIGHTVIEW HOLDINGS INC |
146,051 | 2,056,398 | ||||||||||
BRISTOW GROUP INC |
3,048 | 96,530 | ||||||||||
BROADWIND INC |
6,565 | 12,342 | ||||||||||
BROOKDALE SENIOR LIVING INC |
41,019 | 211,658 | ||||||||||
BROOKLINE BANCORP INC |
18,656 | 302,041 | ||||||||||
BRUNSWICK CORP |
31,489 | 3,171,887 | ||||||||||
BRYN MAWR BANK CORP |
6,178 | 278,072 | ||||||||||
BUCKLE INC (THE) |
3,474 | 146,985 | ||||||||||
BUILD A BEAR WORKSHOP INC |
4,650 | 90,768 | ||||||||||
BUILDERS FIRSTSOURCE |
31,112 | 2,666,610 | ||||||||||
BUNGE LIMITED |
30,274 | 2,826,381 | ||||||||||
BUSINESS FIRST BANCSHARES INC |
4,546 | 128,697 | ||||||||||
BYLINE BANCORP INC |
9,757 | 266,854 | ||||||||||
C & F FINANCIAL CORP |
556 | 28,462 | ||||||||||
C N A FINANCIAL CORP |
6,489 | 286,035 | ||||||||||
C T S CORP |
3,487 | 128,043 | ||||||||||
CABOT CORP |
13,604 | 764,545 | ||||||||||
CACI INTERNATIONAL INC |
3,058 | 823,244 | ||||||||||
CADENCE BANK |
159,412 | 4,748,883 | ||||||||||
CALAVO GROWERS INC |
1,468 | 62,243 | ||||||||||
CALERES INC |
5,931 | 134,515 | ||||||||||
CALIFORNIA RES CORP |
130 | 5,552 | ||||||||||
CALITHERA BIOSCIENCES INC |
2,781 | 1,850 | ||||||||||
CALLAWAY GOLF CO |
2,054 | 56,362 | ||||||||||
CALLON PETROLEUM CO |
5,799 | 274,003 | ||||||||||
CAL-MAINE FOODS INC |
10,410 | 385,066 |
17
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
CAMBRIDGE BANCORP |
295 | 27,609 | ||||||||||
CAMDEN NATIONAL CORP |
4,286 | 206,414 | ||||||||||
CAMPBELL SOUP CO |
7,445 | 323,560 | ||||||||||
CANNAE HOLDINGS INC |
12,633 | 444,050 | ||||||||||
CAPITAL BANCORP INC/MD |
1,149 | 30,104 | ||||||||||
CAPITAL CITY BANK GROUP INC |
4,425 | 116,820 | ||||||||||
CAPITOL FED FINL (2ND STEP CV) |
34,441 | 390,217 | ||||||||||
CAPRI HOLDINGS LTD |
11,001 | 714,075 | ||||||||||
CAPSTAR FINANCIAL HOLDINGS INC |
5,467 | 114,971 | ||||||||||
CARA THERAPEUTICS INC |
3,983 | 48,513 | ||||||||||
CARLISLE COS INC |
15,033 | 3,729,988 | ||||||||||
CARPENTER TECHNOLOGY CORP |
14,224 | 415,199 | ||||||||||
CARRIAGE SERVICES INC |
4,325 | 278,703 | ||||||||||
CARROLS RESTAURANT GROUP INC |
14,707 | 43,533 | ||||||||||
CARS.COM INC |
16,251 | 261,479 | ||||||||||
CARTER BANKSHARES INC |
5,734 | 88,246 | ||||||||||
CARTERS INC |
2,421 | 245,054 | ||||||||||
CASELLA WASTE SYS INC CL A |
40,254 | 3,438,497 | ||||||||||
CASEY GENERAL STORES |
1,150 | 226,953 | ||||||||||
CASS INFORMATION SYSTEMS INC |
2,496 | 98,143 | ||||||||||
CATALYST BIOSCIENCES INC |
7,322 | 6,692 | ||||||||||
CATALYST PHARMACEUTICALS INC |
18,467 | 125,022 | ||||||||||
CATHAY GENERAL BANCORP |
16,880 | 725,671 | ||||||||||
CATO CORP CL A |
7,187 | 123,329 | ||||||||||
CAVCO INDUSTRIES INC |
1,454 | 461,863 | ||||||||||
CBDMD INC |
2,267 | 2,448 | ||||||||||
CBIZ INC |
16,945 | 662,888 | ||||||||||
CBRE GROUP INC - CL A |
27,280 | 2,960,153 | ||||||||||
CBTX INC |
5,821 | 168,809 | ||||||||||
CECO ENVIRONMENTAL CORP |
10,367 | 64,586 | ||||||||||
CENTENNIAL RESOURCE DEVELOPMENT INC CL A |
45,690 | 273,226 | ||||||||||
CENTRAL GARDEN & PET CO |
2,735 | 143,943 | ||||||||||
CENTRAL GARDEN & PET CO CL A |
9,762 | 467,112 | ||||||||||
CENTRAL PACIFIC FINANCIAL CORP |
5,796 | 163,273 | ||||||||||
CENTRAL VALLEY CMNTY BANCORP |
3,380 | 70,203 | ||||||||||
CENTURY ALUMINUM COMPANY |
21,482 | 355,742 | ||||||||||
CENTURY CASINOS INC |
4,644 | 56,564 | ||||||||||
CENTURY COMMUNITIES INC |
10,694 | 874,662 | ||||||||||
CERENCE INC |
519 | 39,776 | ||||||||||
CEVA INC |
2,301 | 99,495 | ||||||||||
CHAMPIONX CORP |
24,978 | 504,805 | ||||||||||
CHARLES & COLVARD LTD |
8,040 | 23,236 | ||||||||||
CHARLES RIVER LABS INTL INC |
2,519 | 949,109 | ||||||||||
CHART INDUSTRIES INC |
5,203 | 829,826 | ||||||||||
CHASE CORP |
1,184 | 117,879 | ||||||||||
CHEFS WAREHOUSE INC |
3,579 | 119,181 | ||||||||||
CHEMUNG FINANCIAL CORP |
551 | 25,225 |
18
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
CHESAPEAKE ENERGY CORP |
8,430 | 543,904 | ||||||||||
CHICAGO RIVET & MACHINE CO |
149 | 3,915 | ||||||||||
CHICOS FAS INC |
25,747 | 138,519 | ||||||||||
CHINOOK THERAPEUTICS INC |
8,957 | 146,089 | ||||||||||
CHUYS HOLDINGS INC |
2,102 | 63,312 | ||||||||||
CIRCOR INTERNATIONAL INC |
3,880 | 105,458 | ||||||||||
CIT GROUP INC |
30,932 | 1,588,049 | ||||||||||
CITI TRENDS INC |
2,444 | 231,569 | ||||||||||
CITIZENS & NORTHERN CORP |
3,845 | 100,431 | ||||||||||
CITY HOLDING CO |
1,904 | 155,728 | ||||||||||
CIVEO CORP |
3,810 | 73,038 | ||||||||||
CIVISTA BANCSHARES INC |
4,645 | 113,338 | ||||||||||
CIVITAS RESOURCES INC |
5,610 | 274,722 | ||||||||||
CLARIVATE PLC |
1,032 | 24,273 | ||||||||||
CLARUS CORP |
980 | 27,166 | ||||||||||
CLEAN ENERGY FUELS CORP |
45,555 | 279,252 | ||||||||||
CLEAN HARBORS INC |
6,513 | 649,802 | ||||||||||
CLEARWATER PAPER CORP |
4,462 | 163,622 | ||||||||||
CLEVELAND-CLIFFS INC |
2,363 | 51,443 | ||||||||||
CMC MATLS INC |
773 | 148,176 | ||||||||||
CNB FINANCIAL CORP PA |
5,399 | 143,074 | ||||||||||
CNX RESOURCES CORP |
55,977 | 769,684 | ||||||||||
CODORUS VALLEY BANCORP INC |
839 | 18,122 | ||||||||||
COEUR MINING INC |
45,250 | 228,060 | ||||||||||
COGNYTE SOFTWARE LTD |
1,306 | 20,465 | ||||||||||
COHU INC |
10,747 | 409,353 | ||||||||||
COLFAX CORP |
31,713 | 1,457,847 | ||||||||||
COLLEGIUM PHARMACEUTICAL INC |
5,170 | 96,576 | ||||||||||
COLUMBIA BANKING SYSTEMS INC |
19,108 | 625,214 | ||||||||||
COLUMBIA FINANCIAL INC |
916 | 19,108 | ||||||||||
COLUMBUS MCKINNON CORP NY |
5,622 | 260,074 | ||||||||||
COMERICA INC |
17,387 | 1,512,669 | ||||||||||
COMFORT SYSTEMS USA INC |
3,274 | 323,930 | ||||||||||
COMMERCIAL METALS CO |
31,370 | 1,138,417 | ||||||||||
COMMERCIAL VEHICLE GROUP INC |
7,268 | 58,580 | ||||||||||
COMMUNITY BANK SYSTEMS INC |
1,536 | 114,401 | ||||||||||
COMMUNITY FINL CORP MD |
907 | 35,654 | ||||||||||
COMMUNITY HEALTH SYS INC NEW |
9,237 | 122,944 | ||||||||||
COMMUNITY TRUST BANCORP INC |
4,950 | 215,870 | ||||||||||
COMPUTER PROGRAMS & SYSTEM INC |
3,084 | 90,361 | ||||||||||
COMPUTER TASK GROUP INC |
4,961 | 49,461 | ||||||||||
COMSCORE INC |
20,300 | 67,802 | ||||||||||
COMSTOCK RESOURCES INC |
53,318 | 431,343 | ||||||||||
COMTECH TELECOMMUNICATIONS NEW |
7,624 | 180,613 | ||||||||||
CONCENTRIX CORP |
32,914 | 5,879,099 | ||||||||||
CONCERT PHARMACEUTICALS INC |
2,153 | 6,782 | ||||||||||
CONCRETE PUMPING HOLDINGS INC |
13,290 | 108,978 |
19
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
CONDUENT INC |
51,064 | 272,682 | ||||||||||
CONNECTONE BANCORP INC |
10,104 | 330,502 | ||||||||||
CONNS INC |
8,360 | 196,627 | ||||||||||
CONSENSUS CLOUD SOLUTION |
728 | 42,129 | ||||||||||
CONSOL ENERGY INCW/I |
9,405 | 213,588 | ||||||||||
CONSOLIDATED COMM HLDGS INC |
20,536 | 153,609 | ||||||||||
CONSTRUCTION PARTNERS INC CL A |
670 | 19,705 | ||||||||||
CONSUMER PORTFOLIO SVCS INC |
4,191 | 49,663 | ||||||||||
CONTAINER STORE GROUP INC |
12,959 | 129,331 | ||||||||||
CONTINENTAL RES OKLA |
38,761 | 1,734,942 | ||||||||||
COOPER STANDARD HOLDING INC |
4,501 | 100,867 | ||||||||||
COPA HOLDINGS SA CL A |
2,466 | 203,840 | ||||||||||
CORE MOLDING TECH INC |
1,116 | 9,497 | ||||||||||
CORVUS PHARMACEUTICALS INC |
3,797 | 9,151 | ||||||||||
COSTAMARE INC |
24,477 | 309,634 | ||||||||||
COTERRA ENERGY INC |
31,329 | 595,251 | ||||||||||
COVENANT LOGISTICS GROUP INC |
3,735 | 98,716 | ||||||||||
COVETRUS INC |
21,777 | 434,887 | ||||||||||
COWEN INC CL A |
6,333 | 228,621 | ||||||||||
CPI AEROSTRUCTURES INC |
1,488 | 4,062 | ||||||||||
CRA INTERNATIONAL INC |
2,244 | 209,500 | ||||||||||
CRANE CO |
1,346 | 136,929 | ||||||||||
CROSS COUNTRY HEALTHCARE INC |
6,512 | 180,773 | ||||||||||
CROSSFIRST BANKSHARES INC |
11,923 | 186,118 | ||||||||||
CSG SYSTEMS INTL INC |
2,812 | 162,027 | ||||||||||
CTO REALTY GROWTH INC |
97 | 5,958 | ||||||||||
CULP INC |
2,575 | 24,488 | ||||||||||
CUMULUS MEDIA INC |
5,964 | 67,095 | ||||||||||
CURTISS WRIGHT CORPORATION |
29,984 | 4,157,881 | ||||||||||
CUSHMAN & WAKEFIELD PLC |
16,943 | 376,812 | ||||||||||
CUSTOMERS BANCORP INC |
7,410 | 484,392 | ||||||||||
CVB FINANCIAL CORP |
15,602 | 334,039 | ||||||||||
CVR ENERGY INC |
14,281 | 240,064 | ||||||||||
CYBEROPTICS CORP |
2,613 | 121,505 | ||||||||||
CYCLERION THERAPEUTICS INC |
1,258 | 2,164 | ||||||||||
DAILY JOURNAL CORP |
281 | 100,241 | ||||||||||
DAKTRONICS INC |
13,341 | 67,372 | ||||||||||
DALLASNEWS CORP |
1,217 | 8,750 | ||||||||||
DANA INC |
40,854 | 932,288 | ||||||||||
DARLING INGREDIENTS INC |
23,066 | 1,598,243 | ||||||||||
DAWSON GEOPHYSICAL CO |
12,650 | 29,285 | ||||||||||
DEL TACO RESTAURANTS INC |
11,075 | 137,884 | ||||||||||
DELEK US HOLDINGS INC |
19,869 | 297,836 | ||||||||||
DELTA APPAREL INC |
1,636 | 48,655 | ||||||||||
DELUXE CORP |
4,531 | 145,490 | ||||||||||
DENBURY INC |
10,664 | 816,756 | ||||||||||
DESIGNER BRANDS INC |
8,915 | 126,682 |
20
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
DHI GROUP INC |
17,193 | 107,284 | ||||||||||
DHT HOLDINGS INC |
44,747 | 232,237 | ||||||||||
DICKS SPORTING GOODS INC |
15,167 | 1,744,053 | ||||||||||
DIGI INTERNATIONAL INC |
9,443 | 232,015 | ||||||||||
DILLARDS INC CL A |
5,568 | 1,364,271 | ||||||||||
DIME COMMUNITY BANCSHARES INC |
11,322 | 398,082 | ||||||||||
DIODES INC |
10,349 | 1,136,424 | ||||||||||
DIXIE GROUP INC |
200 | 1,146 | ||||||||||
DMC GLOBAL INC |
1,792 | 70,981 | ||||||||||
DONEGAL GROUP INC CL A |
7,756 | 110,833 | ||||||||||
DONNELLEY FINANCIAL SOLUTIONS INC |
6,808 | 320,929 | ||||||||||
DORIAN LPG LTD |
11,162 | 141,646 | ||||||||||
DORMAN PRODUCTS INC |
1,786 | 201,836 | ||||||||||
DRIL-QUIP INC |
10,474 | 206,128 | ||||||||||
DUCOMMUN INC |
3,437 | 160,748 | ||||||||||
DULUTH HOLDINGS INC CL B |
2,587 | 39,271 | ||||||||||
DXC TECHNOLOGY CO |
46,893 | 1,509,486 | ||||||||||
DXP ENTERPRISES INC |
6,212 | 159,462 | ||||||||||
DYCOM INDUSTRIES INC |
7,560 | 708,826 | ||||||||||
DYNE THERAPEUTICS INC |
1,330 | 15,814 | ||||||||||
EAGLE BANCORP INC MD |
4,930 | 287,616 | ||||||||||
EAGLE BANCORP MONTANA INC |
1,313 | 30,173 | ||||||||||
EAGLE BULK SHIPPING INC |
1,515 | 68,933 | ||||||||||
EAGLE PHARMACEUTICALS INC |
2,296 | 116,912 | ||||||||||
EARTHSTONE ENERGY INC |
10,833 | 118,513 | ||||||||||
EASTERN CO |
1,017 | 25,588 | ||||||||||
EASTGROUP PPTYS INC |
16,880 | 3,846,108 | ||||||||||
EBIX INC |
3,639 | 110,626 | ||||||||||
ECHOSTAR CORP CL A |
12,566 | 331,114 | ||||||||||
ECOVYST INC |
22,044 | 225,731 | ||||||||||
EDGEWELL PERSONAL CARE CO |
12,668 | 579,054 | ||||||||||
EHEALTH INC |
243 | 6,197 | ||||||||||
EIGER BIOPHARMACEUTICALS INC |
6,193 | 32,142 | ||||||||||
EL POLLO LOCO HLDGS INC |
9,760 | 138,494 | ||||||||||
ELANCO ANIMAL HEALTH INC |
1,279 | 36,298 | ||||||||||
ELECTROMED INC |
1,965 | 25,545 | ||||||||||
ELEMENT SOLUTIONS INC |
145,016 | 3,520,988 | ||||||||||
ELEVATE CREDIT INC |
7,704 | 22,881 | ||||||||||
EMCOR GROUP INC |
31,918 | 4,066,034 | ||||||||||
EMCORE CORP |
8,353 | 58,304 | ||||||||||
EMERGENT BIOSOL |
4,939 | 214,698 | ||||||||||
EMPLOYERS HOLDINGS INC |
7,762 | 321,192 | ||||||||||
ENANTA PHARMACEUTICALS INC |
4,632 | 346,381 | ||||||||||
ENCOMPASS HEALTH CORP |
31,559 | 2,059,540 | ||||||||||
ENCORE CAP GROUP INC |
9,550 | 593,151 | ||||||||||
ENCORE WIRE CORPORATION |
4,224 | 604,454 | ||||||||||
ENDO INTERNATIONAL PLC |
5,363 | 20,165 |
21
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
ENERPAC TOOL GROUP CORP CL A |
2,038 | 41,331 | ||||||||||
ENERSYS INC |
7,655 | 605,204 | ||||||||||
ENETI INC |
3,364 | 26,037 | ||||||||||
ENLINK MIDSTREAM LLC |
121,866 | 839,657 | ||||||||||
ENNIS INC |
8,739 | 170,673 | ||||||||||
ENOVA INTL INC |
9,593 | 392,929 | ||||||||||
ENPRO INDUSTRIES INC |
4,388 | 482,987 | ||||||||||
ENSTAR GROUP LTD |
3,026 | 749,207 | ||||||||||
ENTERPRISE BANCORP INC |
27 | 1,213 | ||||||||||
ENTERPRISE FINL SVCS CORP |
6,542 | 308,063 | ||||||||||
ENTRAVISION COMMUN CRP CL A |
17,213 | 116,704 | ||||||||||
ENVISTA HOLDINGS CORP |
105,601 | 4,758,381 | ||||||||||
ENZO BIOCHEM INC |
7,444 | 23,895 | ||||||||||
EPLUS INC |
11,260 | 606,689 | ||||||||||
EQT CORPORATION |
49,810 | 1,086,356 | ||||||||||
EQUITABLE HOLDINGS INC |
18,822 | 617,173 | ||||||||||
EQUITRANS MIDSTREAM CORP |
71,038 | 734,533 | ||||||||||
EQUITY BANCSHARES INC |
4,204 | 142,642 | ||||||||||
ESCALADE |
3,667 | 57,902 | ||||||||||
ESCO TECHNOLOGIES INC |
4,477 | 402,885 | ||||||||||
ESPEY MFG.&ELECTRIC |
135 | 1,918 | ||||||||||
ESQUIRE FINL HLDGS INC |
397 | 12,553 | ||||||||||
ESSA BANCORP INC |
1,688 | 29,253 | ||||||||||
ESSENT GROUP LTD |
7,679 | 349,625 | ||||||||||
ETHAN ALLEN INTERIORS INC |
7,480 | 196,649 | ||||||||||
EVANS BANCORP INC |
811 | 32,683 | ||||||||||
EVEREST REINSURANCE GROUP LTD |
6,811 | 1,865,669 | ||||||||||
EVOLENT HEALTH INC A |
10,949 | 302,959 | ||||||||||
EVOLUTION PETROLEUM CORP |
3,832 | 19,352 | ||||||||||
EXTERRAN CORP |
9,888 | 29,466 | ||||||||||
EZCORP INC CL A NON VTG |
18,302 | 134,886 | ||||||||||
FABRINET |
5,544 | 656,798 | ||||||||||
FALCON MINERALS CORP |
5,262 | 25,626 | ||||||||||
FARMER BROTHERS CO |
5,384 | 40,111 | ||||||||||
FARMERS & MERCHANTS BANCO/OH |
739 | 24,261 | ||||||||||
FARMERS NATL BANC CORP |
5,533 | 102,637 | ||||||||||
FARO TECHNOLOGIES INC |
402 | 28,148 | ||||||||||
FB FINANCIAL CORP |
4,550 | 199,381 | ||||||||||
FEDERAL AGRI MTG NON VTG CL C |
1,608 | 199,279 | ||||||||||
FEDERAL SIGNAL CORP |
11,284 | 489,049 | ||||||||||
FEDNAT HOLDING CO |
4,807 | 6,778 | ||||||||||
FERRO CORP |
3,479 | 75,947 | ||||||||||
FERROGLOBE PLC |
21,889 | 135,931 | ||||||||||
FERROGLOBE REP&WARRANTY INS TR |
20,872 | 0 | ||||||||||
FIDELITY NATIONAL FINL INC |
12,801 | 667,956 | ||||||||||
FIESTA RESTAURANT GROUP INC |
5,535 | 60,940 | ||||||||||
FINANCIAL INSTITUTIONS INC |
5,181 | 164,756 |
22
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
FIRST AMERICAN FINANCIAL CORP |
59,005 | 4,615,961 | ||||||||||
FIRST BANCORP INC ME |
2,493 | 78,280 | ||||||||||
FIRST BANCORP NC |
6,340 | 289,865 | ||||||||||
FIRST BANCORP PUERTO RICO |
46,111 | 635,410 | ||||||||||
FIRST BANCSHARES INC MISS |
5,320 | 205,458 | ||||||||||
FIRST BANK/HAMILTON NJ |
3,941 | 57,184 | ||||||||||
FIRST BUSEY CORP |
12,141 | 329,264 | ||||||||||
FIRST BUSINESS FIN SVCS INC |
2,032 | 59,273 | ||||||||||
FIRST COMMONWEALTH FINL CORP |
19,135 | 307,882 | ||||||||||
FIRST COMMUNITY BANKSHARES INC |
5,604 | 187,286 | ||||||||||
FIRST CONSTITUTION BANCORP |
1,790 | 45,985 | ||||||||||
FIRST FINANCIAL BANCORP |
22,818 | 556,303 | ||||||||||
FIRST FINANCIAL INDIANA |
3,137 | 142,075 | ||||||||||
FIRST FINANCIAL NORTWEST INC |
2,243 | 36,269 | ||||||||||
FIRST FOUNDATION INC/OLD |
11,582 | 287,929 | ||||||||||
FIRST HAWAIIAN INC |
25,484 | 696,478 | ||||||||||
FIRST HORIZON CORP |
335,863 | 5,484,643 | ||||||||||
FIRST INTERNET BANCORP |
3,073 | 144,554 | ||||||||||
FIRST INTST BANCSYST INC CL A |
10,978 | 446,475 | ||||||||||
FIRST MERCHANTS CORP |
13,026 | 545,659 | ||||||||||
FIRST MID BANCSHARES INC |
4,336 | 185,537 | ||||||||||
FIRST MIDWEST BANCORP INC DEL |
23,726 | 485,908 | ||||||||||
FIRST NORTHWEST BANCORP |
870 | 17,600 | ||||||||||
FIRST OF LONG ISLAND CORP |
7,478 | 161,450 | ||||||||||
FIRST SAVINGS FINANCIAL GRP |
313 | 8,263 | ||||||||||
FIRST SOLAR INC |
21,160 | 1,844,306 | ||||||||||
FIRST SOURCE CORP |
4,450 | 220,720 | ||||||||||
FIRST VIRGINIA COMMUNITY BANK |
670 | 13,273 | ||||||||||
FIRST WESTERN FINANCIAL INC |
1,254 | 38,071 | ||||||||||
FIVE POINT HOLDINGS LLC CL A |
13,223 | 86,478 | ||||||||||
FLAGSTAR BANCORP INC |
13,903 | 666,510 | ||||||||||
FLEX LTD |
85,457 | 1,566,427 | ||||||||||
FLEXIBLE SOLUTIONS INTL INC |
2,381 | 9,262 | ||||||||||
FLEXSTEEL IND |
2,095 | 56,272 | ||||||||||
FLOTEK INDUSTRIES INC |
9,796 | 11,069 | ||||||||||
FLOWSERVE CORP |
1,868 | 57,161 | ||||||||||
FLUENT INC |
20,123 | 40,045 | ||||||||||
FLUOR CORP |
14,913 | 369,395 | ||||||||||
FLUSHING FINANCIAL CORP |
8,615 | 209,345 | ||||||||||
FMC CORP NEW |
19,802 | 2,176,042 | ||||||||||
FNB CORP PA |
55,397 | 671,966 | ||||||||||
FONAR CORP |
1,418 | 21,242 | ||||||||||
FOOT LOCKER INC |
19,631 | 856,501 | ||||||||||
FORESTAR GROUP INC |
11,497 | 250,060 | ||||||||||
FORMA THERAPEUTICS HOLDINGS |
815 | 11,589 | ||||||||||
FORMFACTOR INC |
9,485 | 433,654 | ||||||||||
FORTITUDE GOLD CORP |
2,396 | 15,862 |
23
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
FORUM ENERGY TECHNOLOGIES INC |
1,799 | 28,874 | ||||||||||
FORWARD AIR CORP |
32,907 | 3,984,709 | ||||||||||
FOSSIL INC |
13,827 | 142,280 | ||||||||||
FOSTER L B CO CL A |
3,687 | 50,696 | ||||||||||
FRANKLIN ELECTRIC CO. INC. |
2,592 | 245,100 | ||||||||||
FRANKS INTERNATIONAL NV |
9,802 | 140,659 | ||||||||||
FRESH DEL MONTE PRODUCE INC |
11,018 | 304,097 | ||||||||||
FRIEDMAN INDS INC |
1,279 | 11,997 | ||||||||||
FRP HOLDINGS INC |
2,393 | 138,315 | ||||||||||
FS BANCORP INC |
2,436 | 81,923 | ||||||||||
FTI CONSULTING INC |
2,890 | 443,384 | ||||||||||
FTS INTERNATIONAL INC CL A |
2,649 | 69,536 | ||||||||||
FULL HOUSE RESORTS INC |
1,389 | 16,821 | ||||||||||
FULLER H B CO |
42,297 | 3,426,057 | ||||||||||
FULTON FINANCIAL CORP |
50,230 | 853,910 | ||||||||||
FUNKO INC A |
5,480 | 103,024 | ||||||||||
FUTUREFUEL CORP |
11,419 | 87,241 | ||||||||||
GAIA INC CL A |
2,458 | 21,065 | ||||||||||
GANNETT CO INC |
31,438 | 167,565 | ||||||||||
GAP INC |
15,486 | 273,328 | ||||||||||
GATES INDUSTRIAL CORP PLC |
27,294 | 434,248 | ||||||||||
GATX CORP |
9,073 | 945,316 | ||||||||||
GCP APPLIED TECHNOLOGIES INC |
3,180 | 100,679 | ||||||||||
GENASYS INC |
2,111 | 8,402 | ||||||||||
GENCO SHIPPING & TRADING LTD |
11,350 | 181,600 | ||||||||||
GENCOR INDUSTRIES INC |
1,918 | 22,115 | ||||||||||
GENESCO INC |
5,172 | 331,887 | ||||||||||
GENIE ENERGY LTD B |
2,889 | 16,092 | ||||||||||
GENTEX CORP |
53,142 | 1,851,999 | ||||||||||
GENTHERM INC |
2,519 | 218,901 | ||||||||||
GENWORTH FINANCIAL INC A |
52,957 | 214,476 | ||||||||||
GEOSPACE TECHNOLOGIES CORP |
3,943 | 26,497 | ||||||||||
GERMAN AMERICAN BANCORP INC |
3,392 | 132,220 | ||||||||||
GIBRALTAR INDUSTRIES INC |
5,321 | 354,804 | ||||||||||
G-III APPAREL GROUP LTD |
10,280 | 284,139 | ||||||||||
GLACIER BANCORP INC |
674 | 38,216 | ||||||||||
GLATFELTER CORP |
66,660 | 1,146,552 | ||||||||||
GLOBAL INDEMNITY GROUP LLC-A |
2,854 | 71,721 | ||||||||||
GLOBE LIFE INC |
15,045 | 1,410,017 | ||||||||||
GLYCOMIMETICS INC |
6,434 | 9,265 | ||||||||||
GMS INC |
8,137 | 489,115 | ||||||||||
GOLD RESOURCE CORP |
14,827 | 23,130 | ||||||||||
GOODYEAR TIRE & RUBBER CO |
60,190 | 1,283,251 | ||||||||||
GORMAN-RUPP CO |
4,534 | 201,990 | ||||||||||
GRAHAM CORPORATION |
2,260 | 28,114 | ||||||||||
GRAHAM HOLDINGS CO |
915 | 576,294 | ||||||||||
GRAND CANYON EDUCATION INC |
4,186 | 358,782 |
24
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
GRANITE CONSTRUCTION INC |
11,832 | 457,898 | ||||||||||
GRAPHIC PACKAGING HOLDING CO |
48,084 | 937,638 | ||||||||||
GRAY TELEVISION INC |
26,058 | 525,329 | ||||||||||
GREAT LAKES DREDGE & DOCK CORP |
17,789 | 279,643 | ||||||||||
GREAT SOUTHERN BANCORP INC |
4,193 | 248,435 | ||||||||||
GREAT WESTERN BANCORP INC |
10,298 | 349,720 | ||||||||||
GREEN BRICK PARTNERS INC |
10,175 | 308,608 | ||||||||||
GREEN PLAINS INC |
9,332 | 324,380 | ||||||||||
GREENBRIER COMPANIES INC |
6,908 | 317,008 | ||||||||||
GREENLIGHT CAPITAL RE LTD A |
10,113 | 79,286 | ||||||||||
GREIF INC CL A |
6,710 | 405,083 | ||||||||||
GREIF INC CL B |
1,953 | 116,750 | ||||||||||
GRIFFON CORP |
14,468 | 412,049 | ||||||||||
GROCERY OUTLET HOLDING CORP |
5,122 | 144,850 | ||||||||||
GROUP 1 AUTOMOTIVE INC |
3,974 | 775,804 | ||||||||||
GSI TECHNOLOGY INC |
8,099 | 37,498 | ||||||||||
GTY GOVTECH INC |
12,911 | 86,504 | ||||||||||
GUARANTY BANCSHARES INC |
1,586 | 59,602 | ||||||||||
GUESS INC |
20,738 | 491,076 | ||||||||||
GULF ISLAND FABRICATION INC |
4,272 | 17,131 | ||||||||||
HACKETT GROUP INC |
2,732 | 56,088 | ||||||||||
HAIN CELESTIAL GROUP INC |
6,953 | 296,267 | ||||||||||
HALLADOR PETROLEUM CO |
2,211 | 5,439 | ||||||||||
HALLMARK FIN SERVICES INC |
3,684 | 16,025 | ||||||||||
HANCOCK WHITNEY CORP |
21,140 | 1,057,423 | ||||||||||
HANMI FINANCIAL CORPORATION |
8,570 | 202,938 | ||||||||||
HANOVER INSURANCE GROUP INC |
16,299 | 2,136,147 | ||||||||||
HARBORONE NORTHEAST BANCORP INC |
15,306 | 227,141 | ||||||||||
HARLEY-DAVIDSON INC |
9,761 | 367,892 | ||||||||||
HARMONIC INC |
30,538 | 359,127 | ||||||||||
HARSCO CORP |
15,478 | 258,637 | ||||||||||
HARVARD BIOSCIENCES INC |
7,601 | 53,587 | ||||||||||
HASBRO INC |
27,268 | 2,775,337 | ||||||||||
HAVERTY FURNITURE COS INC |
5,469 | 167,187 | ||||||||||
HAWAIIAN HLDGS INC |
12,671 | 232,766 | ||||||||||
HAWKINS INC |
3,728 | 147,070 | ||||||||||
HAYNES INTL INC |
4,319 | 174,185 | ||||||||||
HBT FINANCIAL INC |
1,436 | 26,896 | ||||||||||
HEALTHSTREAM INC |
6,267 | 165,198 | ||||||||||
HEARTLAND EXPRESS INC |
17,472 | 293,879 | ||||||||||
HEARTLAND FINANCIAL USA INC |
8,279 | 419,000 | ||||||||||
HECLA MINING CO |
128,632 | 671,459 | ||||||||||
HEIDRICK & STRUGGLES INTL INC |
5,147 | 225,078 | ||||||||||
HELIOS TECHNOLOGIES INC |
2,491 | 261,978 | ||||||||||
HELIX ENERGY SOL GRP INC |
46,487 | 145,039 | ||||||||||
HELMERICH & PAYNE INC |
26,823 | 635,705 | ||||||||||
HEMISPHERE MEDIA GRP INC |
4,724 | 34,343 |
25
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
HERC HOLDINGS INC |
3,503 | 548,395 | ||||||||||
HERITAGE COMMERCE CORP |
16,982 | 202,765 | ||||||||||
HERITAGE CRYSTAL CLEAN INC |
2,539 | 81,299 | ||||||||||
HERITAGE FINANCIAL CORP WASH |
9,697 | 236,995 | ||||||||||
HERITAGE INSURANCE HOLDINGS INC |
9,039 | 53,149 | ||||||||||
HEXCEL CORPORATION |
2,387 | 123,647 | ||||||||||
HF FOODS GROUP INC |
1,576 | 13,333 | ||||||||||
HIBBETT INC |
4,898 | 352,313 | ||||||||||
HILL INTL INC |
6,379 | 12,439 | ||||||||||
HILLENBRAND INC |
2,747 | 142,817 | ||||||||||
HILLTOP HLDGS I |
16,669 | 585,749 | ||||||||||
HNI CORP |
6,772 | 284,763 | ||||||||||
HOLLYFRONTIER CORP |
31,267 | 1,024,932 | ||||||||||
HOME BANCORP INC |
2,007 | 83,311 | ||||||||||
HOME BANCSHARES INC |
4,653 | 113,301 | ||||||||||
HOMESTREET INC |
5,968 | 310,336 | ||||||||||
HOMETRUST BANCSHARES INC |
2,220 | 68,776 | ||||||||||
HOMOLOGY MEDICINES INC |
8,046 | 29,287 | ||||||||||
HOOKER FURNISHINGS CORP |
3,233 | 75,264 | ||||||||||
HOOKIPA PHARMA INC |
595 | 1,386 | ||||||||||
HOPE BANCORP INC |
35,001 | 514,865 | ||||||||||
HORACE MANN EDUCATORS CORP |
49,738 | 1,924,861 | ||||||||||
HORIZON BANCORP INC INDIANA |
12,084 | 251,951 | ||||||||||
HORIZON GLOBAL CORP |
2,103 | 16,782 | ||||||||||
HOSTESS BRANDS INC CL A |
28,279 | 577,457 | ||||||||||
HOUGHTON MIFFLIN HARCOURT CO |
17,364 | 279,560 | ||||||||||
HOWARD BANCORP INC |
4,779 | 104,134 | ||||||||||
HOWARD HUGHES CORP |
8,679 | 883,349 | ||||||||||
HUB GROUP INC CL A |
7,287 | 613,857 | ||||||||||
HUDSON TECHNOLOGIES INC |
14,520 | 64,469 | ||||||||||
HUNTINGTON BANCSHARES INC |
167,225 | 2,578,610 | ||||||||||
HUNTINGTON INGALLS INDUSTRIES INC |
64 | 11,951 | ||||||||||
HUNTSMAN CORP |
55,505 | 1,936,014 | ||||||||||
HURCO INC |
1,597 | 47,431 | ||||||||||
HURON CONSULTING GROUP INC |
5,197 | 259,330 | ||||||||||
HUTTIG BUILDING PRODUCTS INC |
596 | 6,598 | ||||||||||
HYSTER-YALE MATERIALS HANDLING |
2,370 | 97,407 | ||||||||||
I3 VERTICALS INC CL A |
1,285 | 29,285 | ||||||||||
ICF INTERNATIONAL INC |
30,862 | 3,164,898 | ||||||||||
ICHOR HOLDINGS LTD |
2,164 | 99,609 | ||||||||||
ICU MEDICAL INC |
9,090 | 2,157,421 | ||||||||||
IES HOLDINGS INC |
2,417 | 122,397 | ||||||||||
IHEARTMEDIA INC |
1,002 | 21,082 | ||||||||||
II-VI INC. |
2,062 | 140,896 | ||||||||||
IMAX CORPORATION |
6,136 | 109,466 | ||||||||||
IMEDIA BRANDS INC CL A |
794 | 4,764 | ||||||||||
IMMERSION CORP |
1,666 | 9,513 |
26
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
IMMUNIC INC |
1,352 | 12,939 | ||||||||||
IMMUNOVANT INC |
4,194 | 35,733 | ||||||||||
INDEPENDENCE CONTRACT DRILLING |
414 | 1,242 | ||||||||||
INDEPENDENCE HOLDING CO |
5 | 283 | ||||||||||
INDEPENDENT BANK CORP |
6,329 | 151,073 | ||||||||||
INDEPENDENT BANK CORP MASS |
23,493 | 1,915,384 | ||||||||||
INDEPENDENT BANK GROUP INC |
13,674 | 986,579 | ||||||||||
INFORMATION SVCS GROUP INC |
5,744 | 43,769 | ||||||||||
INGLES MARKETS INC-CL A |
3,349 | 289,153 | ||||||||||
INGREDION INC |
10,970 | 1,060,141 | ||||||||||
INNOSPEC INC |
4,659 | 420,894 | ||||||||||
INNOVIVA INC |
7,093 | 122,354 | ||||||||||
INOGEN INC |
1,005 | 34,170 | ||||||||||
INSIGHT ENTERPRISES INC |
4,829 | 514,771 | ||||||||||
INSTEEL INDUSTRIES INC |
3,972 | 158,125 | ||||||||||
INTEGER HOLDINGS CORP |
6,139 | 525,437 | ||||||||||
INTERDIGITAL INC |
3,065 | 219,546 | ||||||||||
INTERFACE INC |
6,903 | 110,103 | ||||||||||
INTERNATIONAL BANCSHARES CORP |
17,834 | 755,983 | ||||||||||
INTERNATIONAL SEAWAYS INC |
7,455 | 109,439 | ||||||||||
INTERPUBLIC GROUP OF COS INC |
85,439 | 3,199,691 | ||||||||||
INTEST CORP |
3,736 | 47,522 | ||||||||||
INTEVAC INC |
8,417 | 39,644 | ||||||||||
INTREPID POTASH INC |
3,487 | 149,000 | ||||||||||
INTRICON CORP |
2,617 | 42,317 | ||||||||||
INVACARE CORP |
11,683 | 31,778 | ||||||||||
INVESCO LTD |
119,347 | 2,747,368 | ||||||||||
INVESTAR HOLDING CORP |
1,709 | 31,463 | ||||||||||
INVESTORS BANCORP INC |
77,460 | 1,173,519 | ||||||||||
INVESTORS TITLE CO |
368 | 72,551 | ||||||||||
IROBOT CORP |
3,400 | 223,992 | ||||||||||
ISSUER DIRECT CORP |
75 | 2,209 | ||||||||||
ITERIS INC |
10,016 | 40,064 | ||||||||||
ITRON INC |
1,111 | 76,126 | ||||||||||
J&J SNACKS FOOD CORP |
1,373 | 216,879 | ||||||||||
JABIL INC |
16,158 | 1,136,715 | ||||||||||
JAMES RIVER GROUP HOLDINGS LTD |
1,040 | 29,962 | ||||||||||
JANUS HENDERSON GROUP PLC |
82,007 | 3,439,374 | ||||||||||
JAZZ PHARMA PLC |
9,979 | 1,271,325 | ||||||||||
JEFFERIES FINANCIAL GROUP INC |
43,427 | 1,684,968 | ||||||||||
JELD-WEN HOLDING INC |
11,939 | 314,712 | ||||||||||
JETBLUE AIRWAYS CORP |
30,184 | 429,820 | ||||||||||
JM SMUCKER CO/THE |
29,297 | 3,979,119 | ||||||||||
JOHNSON OUTDOORS INC CL A |
1,168 | 109,430 | ||||||||||
JONES LANG LASALLE INC |
25,570 | 6,887,024 | ||||||||||
JOUNCE THERAPEUTICS INC |
12,059 | 100,693 | ||||||||||
JUNIPER NETWORKS INC |
45,126 | 1,611,449 |
27
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
KADANT INC |
1,656 | 381,675 | ||||||||||
KAMAN CORP |
6,579 | 283,884 | ||||||||||
KAR AUCTION SERVICES INC |
21,243 | 331,816 | ||||||||||
KB HOME |
15,477 | 692,286 | ||||||||||
KBR INC |
1,193 | 56,811 | ||||||||||
KEARNY FINANCIAL CORP |
22,416 | 297,012 | ||||||||||
KELLY SERVICES INC CL A |
9,537 | 159,935 | ||||||||||
KEMPER CORP |
12,066 | 709,360 | ||||||||||
KENNAMETAL INC |
84,415 | 3,031,343 | ||||||||||
KENNEDY-WILSON HOLDINGS INC |
18,992 | 453,529 | ||||||||||
KEWAUNEE SCIENTIFIC CORP |
239 | 3,045 | ||||||||||
KEYSIGHT TECHNOLOGIES INC |
5,183 | 1,070,341 | ||||||||||
KEZAR LIFE SCIENCES INC |
4,085 | 68,301 | ||||||||||
KIMBALL ELECTRONICS INC |
7,005 | 152,429 | ||||||||||
KIMBALL INTL INC CL B |
9,508 | 97,267 | ||||||||||
KINGSTONE COS INC |
617 | 3,085 | ||||||||||
KIRBY CORP |
10,985 | 652,729 | ||||||||||
KKR & CO INC |
66,024 | 4,918,788 | ||||||||||
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC |
35,683 | 2,174,522 | ||||||||||
KNOWLES CORP |
25,205 | 588,537 | ||||||||||
KOHLS CORP |
31,216 | 1,541,758 | ||||||||||
KOPPERS HLDGS INC |
5,551 | 173,746 | ||||||||||
KORN FERRY |
11,312 | 856,658 | ||||||||||
KOSMOS ENERGY LTD |
61,647 | 213,299 | ||||||||||
KRATON CORP |
8,472 | 392,423 | ||||||||||
KRATOS DEFENSE & SEC SOLTN INC |
4,306 | 83,536 | ||||||||||
KRONOS WORLDWIDE INC |
12,814 | 192,338 | ||||||||||
KULICKE & SOFFA INDUSTRIES INC |
23,637 | 1,430,984 | ||||||||||
KURA ONCOLOGY INC |
794 | 11,116 | ||||||||||
KVH INDUSTRIES INC |
5,826 | 53,541 | ||||||||||
LA Z BOY INC |
83,020 | 3,014,456 | ||||||||||
LABORATORY CORP OF AMER HLDGS |
9,234 | 2,901,415 | ||||||||||
LAKELAND BANCORP INC |
13,660 | 259,403 | ||||||||||
LAKELAND INDUSTRIES INC |
2,673 | 58,004 | ||||||||||
LANCASTER COLONY CORP |
12,076 | 1,999,786 | ||||||||||
LANDEC CORP |
8,672 | 96,259 | ||||||||||
LANDMARK BANCORP INC |
381 | 10,859 | ||||||||||
LANDS END INC |
8,775 | 172,253 | ||||||||||
LANNETT INC |
1,141 | 1,848 | ||||||||||
LANTRONIX INC |
4,826 | 37,788 | ||||||||||
LAREDO PETROLEUM INC |
303 | 18,219 | ||||||||||
LAUREATE EDUCATION INC CL A |
24,858 | 304,262 | ||||||||||
LAWSON PRODUCTS INC |
119 | 6,515 | ||||||||||
LAZARD LTD CL A |
81,611 | 3,560,688 | ||||||||||
LAZYDAYS HOLDINGS INC |
2,950 | 63,543 | ||||||||||
LCI INDUSTRIES |
1,418 | 221,024 | ||||||||||
LCNB CORPORATION |
2,726 | 53,239 |
28
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
LEAR CORP NEW |
6,249 | 1,143,255 | ||||||||||
LEGACY HOUSING CORP |
5,810 | 153,791 | ||||||||||
LEGGETT & PLATT INC |
46,880 | 1,929,581 | ||||||||||
LENSAR INC |
2,985 | 17,791 | ||||||||||
LEVEL ONE BANCORP INC |
1,371 | 54,072 | ||||||||||
LGI HOMES INC |
3,326 | 513,800 | ||||||||||
LIBERTY BROADBAND CORP SER A 7% PFD PERP |
670 | 19,531 | ||||||||||
LIBERTY FORMULA ONE-A |
4,996 | 296,463 | ||||||||||
LIBERTY FORMULA ONE-C |
33,360 | 2,109,686 | ||||||||||
LIBERTY LATIN AMERICA LTD CL A |
12,063 | 140,655 | ||||||||||
LIBERTY LATIN AMERICA LTD CL C |
38,185 | 435,309 | ||||||||||
LIBERTY OILFIELD SERVICES INC CL A |
26,914 | 261,066 | ||||||||||
LIFETIME BRANDS INC |
5,428 | 86,685 | ||||||||||
LIGAND PHARMACEUTICALS |
1,667 | 257,485 | ||||||||||
LIGHTPATH TECHNOLOGIES CL A |
2,899 | 7,074 | ||||||||||
LIMONEIRA CO |
4,580 | 68,700 | ||||||||||
LINCOLN EDUCATIONAL SERVICES |
6,174 | 46,120 | ||||||||||
LINCOLN NATIONAL CORP |
31,959 | 2,181,521 | ||||||||||
LIONS GATE ENTERMENT CORP A |
21,402 | 356,129 | ||||||||||
LIONS GATE ENTERTAINMENT CORP B |
28,597 | 440,108 | ||||||||||
LITHIA MOTORS INC CL A |
4,139 | 1,229,076 | ||||||||||
LITTELFUSE INC |
9,349 | 2,941,943 | ||||||||||
LL FLOORING HOLDINGS INC |
4,727 | 80,690 | ||||||||||
LORDSTOWN MOTORS CORP CL A |
2,687 | 9,270 | ||||||||||
LOYALTY VENTURES INC |
2,128 | 63,989 | ||||||||||
LSB INDUSTRIES INC |
5,322 | 58,808 | ||||||||||
LSI INDUSTRIES INC |
9,635 | 66,096 | ||||||||||
LUMEN TECHNOLOGIES INC |
55,640 | 698,282 | ||||||||||
LUMOS PHARMA INC |
219 | 1,520 | ||||||||||
LUNA INNOVATIONS INC |
3,280 | 27,683 | ||||||||||
LUTHER BURBANK CORP |
8,995 | 126,290 | ||||||||||
LUXFER HOLDINGS PLC |
1,938 | 37,423 | ||||||||||
M D C HOLDINGS INC |
15,851 | 884,961 | ||||||||||
M/I HOMES INC |
9,481 | 589,529 | ||||||||||
MACATAWA BK CORP |
8,017 | 70,710 | ||||||||||
MACQUARIE INFRASTRUCTURE HOLDINGS LLC |
13,700 | 50,005 | ||||||||||
MACYS INC |
44,748 | 1,171,503 | ||||||||||
MADISON SQUARE GARDEN ENTERTAINMENT CORP |
69,985 | 4,922,745 | ||||||||||
MADISON SQUARE GARDEN SPORTS CORP |
13,349 | 2,319,122 | ||||||||||
MAGELLAN HEALTH INC |
2,903 | 275,756 | ||||||||||
MAGNOLIA OIL & GAS CORPO CL A |
154,523 | 2,915,849 | ||||||||||
MAIDEN HLDGS LTD |
19,931 | 60,989 | ||||||||||
MAMMOTH ENERGY SERVICES INC |
1,916 | 3,487 | ||||||||||
MANCHESTER UNITED PLC |
123,384 | 1,756,988 | ||||||||||
MANITOWOC CO INC |
10,279 | 191,087 | ||||||||||
MANNATECH INC |
149 | 5,710 | ||||||||||
MANPOWERGROUP INC |
6,423 | 625,151 |
29
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
MANTECH INTL CORP CL A |
5,877 | 428,610 | ||||||||||
MARATHON OIL CORP |
156,614 | 2,571,602 | ||||||||||
MARCHEX INC |
648 | 1,607 | ||||||||||
MARCUS &MILLICHAP CO INC |
8,009 | 412,143 | ||||||||||
MARCUS CORP |
6,757 | 120,680 | ||||||||||
MARINEMAX INC |
5,669 | 334,698 | ||||||||||
MARLIN BUSINESS SERVICES CORP |
3,173 | 73,867 | ||||||||||
MARRIOTT VACATIONS WORLD |
4,080 | 689,438 | ||||||||||
MARTEN TRANSPORT LTD |
21,478 | 368,562 | ||||||||||
MASCO CORPORATION |
39,134 | 2,747,989 | ||||||||||
MASONITE WORLDWIDE HOLDINGS |
3,593 | 423,794 | ||||||||||
MASTEC INC |
16,454 | 1,518,375 | ||||||||||
MATADOR RESOURCES COMPANY |
118,800 | 4,386,096 | ||||||||||
MATERION CORP |
6,245 | 574,165 | ||||||||||
MATRIX SERVICE CO |
8,829 | 66,394 | ||||||||||
MATSON INC |
10,227 | 920,737 | ||||||||||
MATTEL INC |
165,789 | 3,574,411 | ||||||||||
MATTHEWS INTL CORP CL A |
7,760 | 284,559 | ||||||||||
MAXAR TECHNOLOGIES INC |
10,970 | 323,944 | ||||||||||
MAXIMUS INC |
2,461 | 196,068 | ||||||||||
MAYVILLE ENGINEERING CO INC |
4,382 | 65,336 | ||||||||||
MCEWEN MINING INC |
11,919 | 10,566 | ||||||||||
MCGRATH RENTCORP |
5,719 | 459,007 | ||||||||||
MDU RESOURCES GROUP INC |
44,487 | 1,371,979 | ||||||||||
MEDNAX INC |
17,109 | 465,536 | ||||||||||
MERCANTILE BANK CORP |
4,276 | 149,788 | ||||||||||
MERCER INTERNATIONAL INC |
17,988 | 215,676 | ||||||||||
MERCHANTS BANCORP |
3,021 | 142,984 | ||||||||||
MERCURY GENERAL CORP |
6,643 | 352,478 | ||||||||||
MERCURY SYSTEMS INC |
5,200 | 286,312 | ||||||||||
MERIDIAN BIOSCIENCE INC |
8,055 | 164,322 | ||||||||||
MERIDIAN CORP |
400 | 14,708 | ||||||||||
MERIT MEDICAL SYSTEMS INC |
4,692 | 292,312 | ||||||||||
MERITAGE HOMES CORP |
7,496 | 914,962 | ||||||||||
MERITOR INC |
4,268 | 105,761 | ||||||||||
MESA AIR GROUP INC |
9,440 | 52,864 | ||||||||||
MESA LABORATORIES INC |
31 | 10,171 | ||||||||||
META FINL GROUP INC |
5,750 | 343,045 | ||||||||||
METHODE ELECTRONICS INC |
8,426 | 414,306 | ||||||||||
METROPOLITAN BANK HOLDING CORP |
2,259 | 240,651 | ||||||||||
MGIC INVESTMENT CORP |
53,205 | 767,216 | ||||||||||
MGP INGREDIENTS INC |
1,398 | 118,816 | ||||||||||
MICROBOT MEDICAL INC |
880 | 6,600 | ||||||||||
MID AMERICA APT CMNTY INC |
11,687 | 2,681,465 | ||||||||||
MID PENN BANCORP INC |
2,622 | 83,222 | ||||||||||
MIDLAND STATES BANCORP INC |
5,930 | 147,005 | ||||||||||
MIDWESTONE FINANCIAL GRP INC |
4,363 | 141,230 |
30
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
MILLER INDUSTRIES INC TENN |
3,239 | 108,183 | ||||||||||
MILLERKNOLL INC |
11,731 | 459,738 | ||||||||||
MINERALS TECHNOLOGIES INC |
10,272 | 751,397 | ||||||||||
MINERVA NEUROSCIENCES INC |
2,332 | 1,868 | ||||||||||
MISTRAS GROUP INC |
8,234 | 61,179 | ||||||||||
MKS INSTRUMENTS INC |
18,828 | 3,279,273 | ||||||||||
MODINE MANUFACTURING CO |
14,585 | 147,163 | ||||||||||
MODIVCARE INC |
645 | 95,647 | ||||||||||
MOHAWK INDUSTRIES INC |
30,476 | 5,552,118 | ||||||||||
MOLSON COORS BEVERAGE CO B |
42,452 | 1,967,650 | ||||||||||
MONARCH CASINO & RESORT INC |
902 | 66,703 | ||||||||||
MONITRONICS INTERNATIONAL INC |
763 | 1,984 | ||||||||||
MONRO INC |
2,521 | 146,899 | ||||||||||
MOOG INC CL A |
7,268 | 588,490 | ||||||||||
MOSAIC CO NEW |
47,873 | 1,880,930 | ||||||||||
MOTORCAR PARTS OF AMERICA INC |
5,115 | 87,313 | ||||||||||
MOVADO GROUP INC |
4,404 | 184,219 | ||||||||||
MR COOPER GROUP INC |
18,745 | 779,979 | ||||||||||
MRC GLOBAL INC |
19,462 | 133,899 | ||||||||||
MUELLER INDUSTRIES INC |
9,121 | 541,423 | ||||||||||
MUELLER WATER PRODUCTS INC A |
22,603 | 325,483 | ||||||||||
MURPHY OIL CORP |
41,184 | 1,075,314 | ||||||||||
MUSTANG BIO INC |
21,167 | 35,137 | ||||||||||
MVB FINANCIAL CORP |
159 | 6,602 | ||||||||||
MYERS INDUSTRIES |
2,948 | 58,989 | ||||||||||
MYR GROUP INC/DELAWARE |
4,316 | 477,134 | ||||||||||
MYRIAD GENETICS INC |
13,286 | 366,694 | ||||||||||
N-ABLE INC |
998 | 11,078 | ||||||||||
NABORS INDUSTRIES LTD |
1,293 | 104,849 | ||||||||||
NACCO INDUSTRIES INC CL A |
1,747 | 63,399 | ||||||||||
NATIONAL BANKSHARES INC VA |
1,085 | 39,342 | ||||||||||
NATIONAL BK HLDGS CORP |
6,756 | 296,859 | ||||||||||
NATIONAL ENERGY SERVICES REUNITED CORP |
16,051 | 151,682 | ||||||||||
NATIONAL HEALTHCARE CORP |
3,616 | 245,671 | ||||||||||
NATIONAL PRESTO INDS |
1,706 | 139,943 | ||||||||||
NATIONAL WESTERN LIFE GROUP INC- A |
893 | 191,495 | ||||||||||
NATURAL ALTERNATIVES INTL INC |
743 | 9,392 | ||||||||||
NATURAL GAS SERVICES GROUP |
3,945 | 41,304 | ||||||||||
NATURAL GROCERS VIT GROC INC |
7,660 | 109,155 | ||||||||||
NATURES SUNSHINE PRODUCTS INC |
4,825 | 89,263 | ||||||||||
NATUS MEDICAL INC |
8,268 | 196,200 | ||||||||||
NAUTILUS INC |
4,510 | 27,646 | ||||||||||
NAVIENT CORP |
57,894 | 1,228,511 | ||||||||||
NBT BANCORP INC |
6,979 | 268,831 | ||||||||||
NCR CORP |
86,027 | 3,458,285 | ||||||||||
NEENAH INC |
2,615 | 121,022 | ||||||||||
NELNET INC CL A |
9,784 | 955,701 |
31
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
NEOPHOTONICS CO |
12,618 | 193,939 | ||||||||||
NETGEAR INC |
9,375 | 273,844 | ||||||||||
NETSCOUT SYSTEMS INC |
15,693 | 519,124 | ||||||||||
NETWORK-1 TECHNOLOGIES INC |
2,182 | 6,153 | ||||||||||
NEW JERSEY RESOURCES CORP |
13,202 | 542,074 | ||||||||||
NEW YORK COMMUNITY BANCORP INC |
90,229 | 1,101,696 | ||||||||||
NEWELL BRANDS INC |
14,333 | 313,033 | ||||||||||
NEWPARK RESOURCES INC |
30,719 | 90,314 | ||||||||||
NEWS CORP NEW CL A |
67,504 | 1,506,014 | ||||||||||
NEWS CORP NEW CL B |
34,124 | 767,790 | ||||||||||
NEXA RESOURCES SA |
6,444 | 50,650 | ||||||||||
NEXSTAR MEDIA GROUP INC A |
9,117 | 1,376,485 | ||||||||||
NEXSTAR MEDIA GROUP INC A CVR |
6,927 | 0 | ||||||||||
NEXTCURE INC |
3,133 | 18,798 | ||||||||||
NEXTGEN HEALTHCARE INC |
12,189 | 216,842 | ||||||||||
NEXTIER OILFIELD SOLUTIONS INC |
54,875 | 194,806 | ||||||||||
NICOLET BANKSHARES INC |
2,982 | 255,707 | ||||||||||
NIELSEN HOLDINGS PLC |
186,086 | 3,816,624 | ||||||||||
NKARTA INC |
254 | 3,899 | ||||||||||
NL INDUSTRIES |
3,712 | 27,469 | ||||||||||
NMI HOLDINGS INC |
13,808 | 301,705 | ||||||||||
NN INC |
11,603 | 47,572 | ||||||||||
NORDIC AMERICAN TANKER LTD |
20,623 | 34,853 | ||||||||||
NORTHEAST BANK |
2,105 | 75,212 | ||||||||||
NORTHERN TRUST CORP |
21,878 | 2,616,828 | ||||||||||
NORTHFIELD BANCORP INC NEW |
14,408 | 232,833 | ||||||||||
NORTHRIM BANCORP INC |
1,647 | 71,579 | ||||||||||
NORTHWEST BANCSHARES INC |
26,647 | 377,322 | ||||||||||
NORTHWEST PIPE CO |
3,615 | 114,957 | ||||||||||
NOV INC |
13,441 | 182,126 | ||||||||||
NOW INC |
25,199 | 215,199 | ||||||||||
NRG ENERGY INC |
16,029 | 690,529 | ||||||||||
NU SKIN ENTERPRISES INC CL A |
8,187 | 415,490 | ||||||||||
NUVASIVE INC |
5,539 | 290,687 | ||||||||||
NV5 GLOBAL INC |
2,964 | 409,388 | ||||||||||
NVENT ELECTRIC PLC |
20,205 | 767,790 | ||||||||||
OASIS PETE INC NEW |
3,070 | 386,789 | ||||||||||
OCEANEERING INTERNATIONAL INC |
24,904 | 281,664 | ||||||||||
OCEANFIRST FINANCIAL CORP |
11,420 | 253,524 | ||||||||||
OCWEN FINANCIAL CORP |
2,158 | 86,255 | ||||||||||
ODP CORP/THE |
11,727 | 460,637 | ||||||||||
OFG BANCORP |
11,631 | 308,919 | ||||||||||
OIL STATES INTERNATIONAL INC |
16,876 | 83,874 | ||||||||||
OIL-DRI CORP OF AMERICA |
667 | 21,831 | ||||||||||
OLD NATIONAL BANCORP (IND) |
35,652 | 646,014 | ||||||||||
OLD REPUBLIC INTL CORP |
54,145 | 1,330,884 | ||||||||||
OLD SECOND BANCORP |
5,905 | 74,344 |
32
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
OLIN CORP |
23,004 | 1,323,190 | ||||||||||
OLLIES BARGAIN OUTLET HOLDINGS INC |
3,015 | 154,338 | ||||||||||
OLYMPIC STEEL INC |
3,052 | 71,722 | ||||||||||
ONE GAS INC |
16,556 | 1,284,580 | ||||||||||
ONEMAIN HOLDINGS INC |
6,931 | 346,827 | ||||||||||
ONESPAN INC |
3,636 | 61,557 | ||||||||||
ONESPAWORLD HOLDINGS LTD |
7,831 | 78,467 | ||||||||||
ONEWATER MARINE CL A |
470 | 28,656 | ||||||||||
ONTO INNOVATION INC |
5,978 | 605,153 | ||||||||||
OP BANCORP |
2,414 | 30,803 | ||||||||||
OPIANT PHARMACEUTICALS INC |
1,027 | 34,538 | ||||||||||
OPKO HEALTH INC |
39,518 | 190,082 | ||||||||||
OPORTUN FIN CORP |
3,560 | 72,090 | ||||||||||
OPPENHEIMER HLDGS CL A NON-VTG |
2,442 | 113,236 | ||||||||||
OPTION CARE HEALTH INC |
11,861 | 337,327 | ||||||||||
ORASURE TECHNOLOGIES INC |
16,839 | 146,331 | ||||||||||
ORGANON & CO |
6,101 | 185,775 | ||||||||||
ORGENESIS INC |
1,266 | 3,646 | ||||||||||
ORIGIN BANCORP INC |
3,108 | 133,395 | ||||||||||
ORION ENGINEERED CARBONS SA |
2,773 | 50,912 | ||||||||||
ORION GROUP HOLDINGS INC |
10,871 | 40,984 | ||||||||||
ORMAT TECHNOLOGIES INC |
4,929 | 390,870 | ||||||||||
ORRSTOWN FINANCIAL SERVICES |
2,368 | 59,674 | ||||||||||
ORTHOFIX MEDICAL INC |
4,334 | 134,744 | ||||||||||
OSHKOSH CORP |
7,416 | 835,857 | ||||||||||
OSI SYSTEMS INC |
3,673 | 342,324 | ||||||||||
OVERSEAS SHIPHLDG GRP INC NEW |
24,947 | 46,900 | ||||||||||
OWENS AND MINOR INC |
18,156 | 789,786 | ||||||||||
OWENS CORNING INC |
6,409 | 580,015 | ||||||||||
OXFORD INDUSTRIES |
3,055 | 310,144 | ||||||||||
PACIFIC PREMIER BANCORP INC |
16,671 | 667,340 | ||||||||||
PACIRA BIOSCIENCES INC |
861 | 51,806 | ||||||||||
PACKAGING CORP OF AMERICA |
357 | 48,606 | ||||||||||
PACWEST BANCORP |
25,728 | 1,162,134 | ||||||||||
PAM TRANSPORTAION |
832 | 59,080 | ||||||||||
PANGAEA LOGISTICS SOLUTIONS LTD |
6,791 | 25,670 | ||||||||||
PARK AEROSPACE CORP |
6,727 | 88,796 | ||||||||||
PARK NATIONAL CORP |
2,013 | 276,405 | ||||||||||
PARK OHIO HLDGS CORP |
3,341 | 70,729 | ||||||||||
PARKE BANCORP INC |
2,146 | 45,667 | ||||||||||
PARSONS CORP |
10,603 | 356,791 | ||||||||||
PATRICK INDUSTRIES INC |
3,494 | 281,931 | ||||||||||
PATRIOT TRANSPORTATION HOLDING INC |
126 | 1,017 | ||||||||||
PATTERSON COMPANIES INC |
17,996 | 528,183 | ||||||||||
PATTERSON-UTI ENERGY INC |
47,549 | 401,789 | ||||||||||
PBF ENERGY INC CL A |
29,839 | 387,012 | ||||||||||
PC CONNECTION INC |
5,686 | 245,237 |
33
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
PCB BANCORP |
2,583 | 56,723 | ||||||||||
PCSB FINANCIAL CORP |
4,234 | 80,615 | ||||||||||
PCTEL INC |
6,376 | 36,152 | ||||||||||
PDC ENERGY INC |
21,909 | 1,068,721 | ||||||||||
PDF SOLUTIONS INC |
3,933 | 125,030 | ||||||||||
PDL BIOPHARMA INC |
62,577 | 154,565 | ||||||||||
PEABODY ENERGY CORP |
24,768 | 249,414 | ||||||||||
PEAPACK GLADSTONE FINL CORP |
5,550 | 196,470 | ||||||||||
PEBBLEBROOK HOTEL TRUST |
81,659 | 1,826,712 | ||||||||||
PENNS WOODS BANCORP INC |
1,124 | 26,493 | ||||||||||
PENNYMAC FINANCIAL SERVICES INC |
8,724 | 608,761 | ||||||||||
PENSKE AUTOMOTIVE GROUP INC |
17,394 | 1,864,985 | ||||||||||
PEOPLES BANCORP INC |
8,722 | 277,447 | ||||||||||
PEOPLES FINANCIAL SERV CORP |
124 | 6,534 | ||||||||||
PEOPLES UNITED FINANCIAL INC |
77,819 | 1,386,735 | ||||||||||
PERDOCEO EDUCATION CORP |
17,742 | 208,646 | ||||||||||
PERFORMANCE FOOD GROUP CO |
6,851 | 314,392 | ||||||||||
PERRIGO CO PLC |
24,025 | 934,573 | ||||||||||
PERSONALIS INC |
744 | 10,617 | ||||||||||
PETIQ INC CL A |
2,400 | 54,504 | ||||||||||
PETMED EXPRESS INC |
2,297 | 58,022 | ||||||||||
PGT INNOVATIONS INC |
7,426 | 167,011 | ||||||||||
PHIBRO ANIMAL HEALTH CORP CL A |
1,716 | 35,041 | ||||||||||
PHOTRONIC INC |
20,328 | 383,183 | ||||||||||
PHX MINERALS INC A |
5,115 | 11,100 | ||||||||||
PILGRIMS PRIDE CORP NEW |
16,927 | 477,341 | ||||||||||
PING IDENTITY HOLDING CORP |
3,625 | 82,940 | ||||||||||
PINNACLE FINL PARTNERS INC |
8,482 | 810,031 | ||||||||||
PLAYA HOTELS & RESORTS NV |
25,953 | 207,105 | ||||||||||
PLEXUS CORP |
26,732 | 2,563,331 | ||||||||||
POLARIS INC |
17,529 | 1,926,612 | ||||||||||
POPULAR INC |
26,083 | 2,139,849 | ||||||||||
POST HOLDINGS INC |
13,662 | 1,540,117 | ||||||||||
POTBELLY CORP |
2,000 | 11,160 | ||||||||||
POWELL INDUSTRIES INC |
3,529 | 104,070 | ||||||||||
POWERFLEET INC |
4,846 | 22,970 | ||||||||||
PRA GROUP INC |
9,723 | 488,192 | ||||||||||
PREFERRED BANK LOS ANGELES |
3,803 | 273,017 | ||||||||||
PREFORMED LINE PRODUCTS CO |
1,299 | 84,045 | ||||||||||
PREMIER FINANCIAL CORP |
9,660 | 298,591 | ||||||||||
PREMIER INC |
19,969 | 822,124 | ||||||||||
PRESTIGE CONSUMER HEALTHCARE INC |
11,603 | 703,722 | ||||||||||
PRICESMART INC |
6,334 | 463,459 | ||||||||||
PRIMIS FINANCIAL CORP |
6,097 | 91,699 | ||||||||||
PRIMORIS SVCS CORP |
10,954 | 262,677 | ||||||||||
PROASSURANCE CORPORATION |
12,619 | 319,261 | ||||||||||
PROPETRO HOLDING CORP |
25,985 | 210,479 |
34
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
PROSPERITY BANCSHARES INC |
15,869 | 1,147,329 | ||||||||||
PROTHENA CORP PLC |
5,401 | 266,809 | ||||||||||
PROVIDENT FINANCIAL HLDGS INC |
1,165 | 19,281 | ||||||||||
PROVIDENT FINANCIAL SVCS INC |
16,064 | 389,070 | ||||||||||
PULTEGROUP INC |
38,824 | 2,219,180 | ||||||||||
PVH CORP |
13,929 | 1,485,528 | ||||||||||
QCR HOLDINGS INC |
4,202 | 235,312 | ||||||||||
QUAD/GRAPHICS INC CL A |
13,223 | 52,892 | ||||||||||
QUANEX BUILDING PRODUCTS |
8,369 | 207,384 | ||||||||||
QUANTA SVCS INC |
6,738 | 772,579 | ||||||||||
QUEST RESOURCE HOLDING CORP |
2,431 | 16,871 | ||||||||||
QUINSTREET INC |
7,888 | 143,483 | ||||||||||
QURATE RETAIL INC |
79,822 | 606,647 | ||||||||||
QURATE RETAIL INC 8% PFD 03/15/2031 |
1,299 | 134,161 | ||||||||||
RADIAN GROUP INC |
32,782 | 692,684 | ||||||||||
RADIANT LOGISTICS INC |
11,842 | 86,328 | ||||||||||
RAFAEL HOLDINGS INC |
1,783 | 9,093 | ||||||||||
RALPH LAUREN CORP |
1,186 | 140,968 | ||||||||||
RAMBUS INC |
14,206 | 417,514 | ||||||||||
RANGE RESOURCES CORP |
42,665 | 760,717 | ||||||||||
RANGER OIL CORP CL A |
2,464 | 66,331 | ||||||||||
RANPAK HOLDINGS CORP A |
2,028 | 76,212 | ||||||||||
RAYONIER ADVANCED MATERIALS |
15,627 | 89,230 | ||||||||||
RBB BANCORP |
4,413 | 115,621 | ||||||||||
RCI HOSPITALITY HOLDINGS INC |
2,126 | 165,573 | ||||||||||
RCM TECHNOLOGIES INC |
2,709 | 19,288 | ||||||||||
RE/MAX HOLDINGS INC CL A |
4,503 | 137,296 | ||||||||||
READING INTL INC CL A |
3,517 | 14,209 | ||||||||||
REALNETWORKS INC |
1,984 | 1,944 | ||||||||||
REALOGY HOLDINGS CORP |
24,129 | 405,608 | ||||||||||
RED ROBIN GOURMET BURGERS INC |
1,010 | 16,695 | ||||||||||
REGAL REXNORD CORP |
7,486 | 1,273,967 | ||||||||||
REGIONAL MANAGEMENT CORP |
3,059 | 175,770 | ||||||||||
REINSURANCE GROUP OF AMERICA |
12,470 | 1,365,340 | ||||||||||
RELIANCE STEEL & ALUMINUM CO |
15,919 | 2,582,380 | ||||||||||
RELIANT BANCORP INC |
1,353 | 48,032 | ||||||||||
RENAISSANCERE HLDGS LTD |
7,776 | 1,316,710 | ||||||||||
RENASANT CORP |
13,487 | 511,832 | ||||||||||
RENEWABLE ENERGY GROUP INC |
12,177 | 516,792 | ||||||||||
RENT A CTR INC |
1,864 | 89,547 | ||||||||||
REPUBLIC BANCORP INC KY CL A |
4,851 | 246,625 | ||||||||||
REPUBLIC FIRST BANCORP INC |
12,892 | 47,958 | ||||||||||
RESIDEO TECHNOLOGIES INC |
26,384 | 686,776 | ||||||||||
RESOLUTE FOREST PRODUCTS INC |
18,319 | 279,731 | ||||||||||
RESOURCES CONNECTION INC |
11,425 | 203,822 | ||||||||||
REV GROUP INC |
15,200 | 215,080 | ||||||||||
REX AMERICAN RESOURCES CORP |
1,751 | 168,096 |
35
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
RF INDUSTRIES LTD |
211 | 1,688 | ||||||||||
RHYTHM PHARMACEUTICALS INC |
446 | 4,451 | ||||||||||
RIBBON COMMUNICATIONS INC |
33,205 | 200,890 | ||||||||||
RICHARDSON ELECTRONICS LTD |
3,601 | 48,686 | ||||||||||
RICHMOND MUTUAL BANCORPORATION INC |
677 | 10,906 | ||||||||||
RITE AID CORP |
14,248 | 209,303 | ||||||||||
RIVERVIEW BANCORP INC |
7,656 | 58,875 | ||||||||||
ROCKY BRANDS INC |
1,946 | 77,451 | ||||||||||
ROGERS CORP |
3,282 | 895,986 | ||||||||||
ROYAL CARIBBEAN CRUISES LTD |
11,318 | 870,354 | ||||||||||
RPC INC |
38,862 | 176,433 | ||||||||||
RUSH ENTERPRISES INC CL A |
10,208 | 567,973 | ||||||||||
RUSH ENTERPRISES INC CL B |
2,306 | 124,455 | ||||||||||
RYDER SYSTEM INC |
9,713 | 800,643 | ||||||||||
RYERSON HOLDING CORP |
1,339 | 34,881 | ||||||||||
S & T BANCORP |
7,072 | 222,909 | ||||||||||
SAFETY INSURANCE GROUP INC |
2,799 | 237,999 | ||||||||||
SAGA COMMUNICATIONS INC CL A |
115 | 2,761 | ||||||||||
SANDERSON FARMS INC |
4,469 | 853,937 | ||||||||||
SANDRIDGE ENERGY INC |
10,371 | 108,481 | ||||||||||
SANDY SPRING BANCORP INC |
11,086 | 533,015 | ||||||||||
SANMINA CORP |
19,734 | 818,172 | ||||||||||
SANTANDER CONSUMER USA HLDGS INC |
94,348 | 3,964,503 | ||||||||||
SAPIENS INTL CORP NV |
2,418 | 83,300 | ||||||||||
SATSUMA PHARMACEUTICALS INC |
2,113 | 9,509 | ||||||||||
SAVARA INC |
99 | 123 | ||||||||||
SCANSOURCE INC |
6,576 | 230,686 | ||||||||||
SCHNEIDER NATIONAL INC CL B |
15,799 | 425,151 | ||||||||||
SCHNITZER STEEL INDS INC CL A |
8,330 | 432,494 | ||||||||||
SCHOLASTIC CORP |
9,337 | 373,107 | ||||||||||
SCHWEITZER-MAUDUIT INTL INC |
7,784 | 232,742 | ||||||||||
SCIENCE APPLICATIONS INTERNATIONAL CORP |
3,681 | 307,695 | ||||||||||
SCORPIO TANKERS INC |
12,196 | 156,231 | ||||||||||
SCRIPPS (EW) CO CL A |
14,411 | 278,853 | ||||||||||
SEABOARD CORP |
156 | 613,862 | ||||||||||
SEACOAST BANKING CORP FLORIDA |
5,432 | 192,238 | ||||||||||
SEACOR MARINE HOLDINGS INC |
4,055 | 13,787 | ||||||||||
SEASPINE HOLDINGS CORP |
2,062 | 28,084 | ||||||||||
SECUREWORKS CORP |
2,461 | 39,302 | ||||||||||
SELECT ENERGY SERVICES INC CL A |
22,556 | 140,524 | ||||||||||
SELECT MEDICAL HLDGS CORP |
24,472 | 719,477 | ||||||||||
SEMTECH CORP |
27,593 | 2,453,845 | ||||||||||
SENECA FOODS CORP CL A |
2,342 | 112,299 | ||||||||||
SENSATA TECHNOLOGIES HOLDING PLC |
14,076 | 868,348 | ||||||||||
SENSIENT TECHNOLOGIES CORP |
5,943 | 594,657 | ||||||||||
SFL CORP LTD |
31,422 | 256,089 | ||||||||||
SHOE CARNIVAL |
7,000 | 273,560 |
36
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
SHORE BANCSHARES INC |
3,419 | 71,286 | ||||||||||
SIERRA BANCORP |
4,656 | 126,410 | ||||||||||
SIGMATRON INTERNATIONAL INC |
600 | 6,198 | ||||||||||
SIGNET JEWELERS LTD |
10,173 | 885,356 | ||||||||||
SILGAN HOLDINGS INC |
1,203 | 51,537 | ||||||||||
SILVERBOW RESOURCES INC |
1,768 | 38,489 | ||||||||||
SIMMONS 1ST NATL CORP CL A |
23,964 | 708,855 | ||||||||||
SIMPLY GOOD FOODS CO |
78,871 | 3,278,667 | ||||||||||
SIMPSON MANUFACTURING CO |
6,978 | 970,430 | ||||||||||
SIO GENE THERAPIES INC |
9,530 | 12,294 | ||||||||||
SIRIUSPOINT LTD |
16,187 | 131,600 | ||||||||||
SKECHERS USA INC CL A |
1,425 | 61,845 | ||||||||||
SKYLINE CHAMPION CORP |
1,685 | 133,081 | ||||||||||
SKYWEST INC |
15,522 | 610,015 | ||||||||||
SM ENERGY CO |
28,536 | 841,241 | ||||||||||
SMART SAND INC |
1,887 | 3,359 | ||||||||||
SMARTFINANCIAL INC |
3,648 | 99,809 | ||||||||||
SMITH & WESSON BRANDS INC |
9,857 | 175,455 | ||||||||||
SMITH MICRO SOFTWARE INC |
2,902 | 14,278 | ||||||||||
SNAP-ON INCORPORATED |
13,324 | 2,869,723 | ||||||||||
SOLARIS OILFIELD INFRASTRUCTURE INC CL A |
4,997 | 32,730 | ||||||||||
SOLARWINDS CORP |
998 | 14,162 | ||||||||||
SONIC AUTOMOTIVE INC CL A |
10,502 | 519,324 | ||||||||||
SONOCO PRODUCTS CO |
14,845 | 859,377 | ||||||||||
SOUTHERN FIRST BANCSHARES INC |
1,385 | 86,549 | ||||||||||
SOUTHERN MISSOURI BANCORP INC |
705 | 36,780 | ||||||||||
SOUTHSIDE BANCSHARES INC |
2,331 | 97,482 | ||||||||||
SOUTHSTATE CORP |
12,245 | 980,947 | ||||||||||
SP PLUS CORP |
1,386 | 39,113 | ||||||||||
SPARTANNASH CO |
9,857 | 253,916 | ||||||||||
SPECTRUM BRANDS HOLDINGS INC |
7,124 | 724,653 | ||||||||||
SPIRIT AIRLINES INC |
23,864 | 521,428 | ||||||||||
SPIRIT OF TEXAS BANCSHARES INC |
4,100 | 117,998 | ||||||||||
SPOK HOLDINGS INC |
4,378 | 40,847 | ||||||||||
SPORTSMANS WHSE HLDGS INC |
3,809 | 44,946 | ||||||||||
SPROUTS FMRS MKT INC |
18,653 | 553,621 | ||||||||||
SPX FLOW INC |
4,731 | 409,137 | ||||||||||
STANDARD MOTOR PRODUCTS INC |
5,653 | 296,161 | ||||||||||
STANDEX INTL CORP |
2,940 | 325,340 | ||||||||||
STAR EQUITY HOLDINGS INC |
460 | 1,173 | ||||||||||
STARTEK INC |
7,122 | 37,177 | ||||||||||
STATE AUTO FINANCIAL CORP |
8,197 | 423,703 | ||||||||||
STEEL DYNAMICS INC |
40,696 | 2,526,001 | ||||||||||
STEELCASE INC CLASS A |
19,433 | 227,755 | ||||||||||
STEPAN CO |
4,110 | 510,832 | ||||||||||
STERICYCLE INC |
35,857 | 2,138,511 | ||||||||||
STERIS PLC |
10,151 | 2,470,855 |
37
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
STERLING BANCORP INC/MI |
3,591 | 20,648 | ||||||||||
STERLING BANCORP/DE |
42,054 | 1,084,573 | ||||||||||
STERLING CONSTRUCTION CO INC |
5,820 | 153,066 | ||||||||||
STEVEN MADDEN LTD |
581 | 26,999 | ||||||||||
STEWART INFORMATION SERVICES |
6,677 | 532,357 | ||||||||||
STIFEL FINANCIAL CORP |
50,317 | 3,543,323 | ||||||||||
STONERIDGE INC |
6,545 | 129,198 | ||||||||||
STONEX GROUP INC |
3,164 | 193,795 | ||||||||||
STRATASYS LTD |
12,368 | 302,892 | ||||||||||
STRATEGIC EDUCATION INC |
2,085 | 120,596 | ||||||||||
STRATTEC SEC CORP |
1,335 | 49,422 | ||||||||||
STRIDE INC |
14,734 | 491,084 | ||||||||||
SUMMIT FINANCIAL GROUP INC |
813 | 22,317 | ||||||||||
SUMMIT MATERIALS INC CL A |
23,544 | 945,056 | ||||||||||
SUNCOKE ENERGY INC |
19,853 | 130,831 | ||||||||||
SUNRUN INC |
10,420 | 357,406 | ||||||||||
SUPER MICRO COMPUTER INC |
7,336 | 322,417 | ||||||||||
SUPERIOR GROUP OF COS INC |
4,458 | 97,809 | ||||||||||
SUPERNUS PHARMACEUTICALS INC |
11,663 | 340,093 | ||||||||||
SURFACE ONCOLOGY INC |
8,072 | 38,584 | ||||||||||
SURGALIGN HOLDINGS INC |
17,858 | 12,793 | ||||||||||
SYNCHRONOSS TECHNOLOGIES INC |
6,916 | 16,875 | ||||||||||
SYNEOS HEALTH INC |
39,735 | 4,079,990 | ||||||||||
SYNLOGIC INC |
3,697 | 8,947 | ||||||||||
SYNOVUS FINANCIAL CORP. |
74,837 | 3,582,447 | ||||||||||
TALOS ENERGY INC |
18,373 | 180,055 | ||||||||||
TAPESTRY INC |
7,918 | 321,471 | ||||||||||
TARGA RESOURCES CORP |
1,224 | 63,942 | ||||||||||
TARO PHARMACEUTICALS IND |
3,058 | 153,236 | ||||||||||
TAYLOR MORRISON HOME CORP |
27,329 | 955,422 | ||||||||||
TD SYNNEX CORP |
36,208 | 4,140,747 | ||||||||||
TEAM INC |
8,245 | 8,987 | ||||||||||
TECHNIP ENERGIES NV ADR |
12,075 | 175,088 | ||||||||||
TECHNIPFMC PLC |
148,794 | 880,860 | ||||||||||
TECNOGLASS INC |
375 | 9,821 | ||||||||||
TEEKAY CORP |
2,374 | 7,454 | ||||||||||
TEEKAY TANKERS LTD CL A |
8,324 | 90,732 | ||||||||||
TEGNA INC |
213,954 | 3,970,986 | ||||||||||
TEJON RANCH CO |
9,534 | 181,909 | ||||||||||
TELEPHONE & DATA SYSTEMS INC |
32,571 | 656,306 | ||||||||||
TENNANT CO |
129 | 10,454 | ||||||||||
TENNECO INC |
1,940 | 21,922 | ||||||||||
TEREX CORP |
10,437 | 458,706 | ||||||||||
TERMINIX GLOBAL HLDGS INC |
16,049 | 725,896 | ||||||||||
TERRITORIAL BANCORP INC |
2,778 | 70,145 | ||||||||||
TESSCO TECHNOLOGIES INC |
2,017 | 12,485 | ||||||||||
TETRA TECHNOLOGIES INC |
2,232 | 6,339 |
38
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
TEXAS CAPITAL BANCSHARES INC |
10,993 | 662,328 | ||||||||||
TEXTAINER GROUP HLDGS LTD |
14,651 | 523,187 | ||||||||||
THE BANK OF PRINCETON |
1,134 | 33,260 | ||||||||||
THERMON GROUP HOLDINGS INC |
10,931 | 185,062 | ||||||||||
THOR INDUSTRIES INC |
9,132 | 947,628 | ||||||||||
THRYV HOLDINGS INC |
430 | 17,686 | ||||||||||
TIDEWATER INC |
11,057 | 118,420 | ||||||||||
TILE SHOP HLDGS INC |
1,934 | 13,789 | ||||||||||
TILLYS INC |
6,293 | 101,380 | ||||||||||
TIMBERLAND BANCORP INC |
2,601 | 72,048 | ||||||||||
TIMKEN CO |
11,714 | 811,663 | ||||||||||
TIMKENSTEEL CORP |
13,978 | 230,637 | ||||||||||
TIPTREE INC |
9,477 | 131,067 | ||||||||||
TITAN INTERNATIONAL INC |
15,718 | 172,269 | ||||||||||
TITAN MACHINERY INC |
7,549 | 254,326 | ||||||||||
TOLL BROTHERS INC |
37,728 | 2,731,130 | ||||||||||
TOOTSIE ROLL INDUSTRIES INC |
2,660 | 96,372 | ||||||||||
TOWNE BANK |
14,999 | 473,818 | ||||||||||
TOWNSQUARE MEDIA INC |
566 | 7,545 | ||||||||||
TRANSCAT INC |
150 | 13,865 | ||||||||||
TRANSOCEAN LTD |
128,233 | 353,923 | ||||||||||
TRAVELCENTERS OF AMERICA INC |
1,598 | 82,489 | ||||||||||
TRECORA RESOURCES |
8,727 | 70,514 | ||||||||||
TREDEGAR CORP |
6,955 | 82,208 | ||||||||||
TREEHOUSE FOODS INC |
13,358 | 541,400 | ||||||||||
TRI POINTE HOMES INC |
39,263 | 1,095,045 | ||||||||||
TRICO BANCSHARES |
5,590 | 240,146 | ||||||||||
TRIMAS CORP |
3,501 | 129,537 | ||||||||||
TRIMBLE INC |
21,425 | 1,868,046 | ||||||||||
TRINITY INDUSTRIES INC |
33,205 | 1,002,791 | ||||||||||
TRINSEO PLC |
3,530 | 185,184 | ||||||||||
TRIPLE-S MANAGEMENT CORP CL B |
6,637 | 236,808 | ||||||||||
TRISTATE CAPITAL HOLDINGS INC |
9,379 | 283,809 | ||||||||||
TRITON INTERNATIONAL LTD |
19,602 | 1,180,628 | ||||||||||
TRIUMPH BANCORP INC |
2,785 | 331,638 | ||||||||||
TRONOX HOLDINGS PLC |
33,675 | 809,210 | ||||||||||
TRUEBLUE INC |
9,801 | 271,194 | ||||||||||
TRUECAR INC |
23,391 | 79,529 | ||||||||||
TRUSTCO BANK CORP NY |
5,542 | 184,604 | ||||||||||
TRUSTMARK CORP |
18,131 | 588,532 | ||||||||||
TTM TECHNOLOGIES INC |
32,678 | 486,902 | ||||||||||
TURTLE BEACH CORP |
977 | 21,748 | ||||||||||
TUTOR PERINI CORP |
12,962 | 160,340 | ||||||||||
TWIN DISC INC |
2,064 | 22,621 | ||||||||||
UFP INDUSTRIES INC |
13,523 | 1,244,251 | ||||||||||
UFP TECHNOLOGIES INC |
1,504 | 105,671 | ||||||||||
ULTRA CLEAN HOLDINGS INC |
8,627 | 494,845 |
39
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
ULTRALIFE CORP |
2,472 | 14,931 | ||||||||||
UMB FINANCIAL CORP |
1,489 | 157,998 | ||||||||||
UMPQUA HOLDINGS CORP |
46,419 | 893,102 | ||||||||||
UNIFI INC |
4,986 | 115,426 | ||||||||||
UNIFIRST CORP |
1,845 | 388,188 | ||||||||||
UNITED BANKSHARES INC. W VA. |
106,865 | 3,877,062 | ||||||||||
UNITED COMMUNITY BANKS GA |
12,442 | 447,165 | ||||||||||
UNITED FIRE GROUP INC |
7,725 | 179,143 | ||||||||||
UNITED INS HLDGS CORP |
12,964 | 56,264 | ||||||||||
UNITED NATURAL FOODS INC |
17,378 | 852,912 | ||||||||||
UNITED STATES CELLULAR CORP |
10,950 | 345,144 | ||||||||||
UNITED STATES LIME & MIN INC |
763 | 98,442 | ||||||||||
UNITED STATES STEEL CORP |
33,987 | 809,230 | ||||||||||
UNITED THERAPEUTICS CORP DEL |
2,050 | 442,964 | ||||||||||
UNITY BANCORP INC |
1,906 | 50,033 | ||||||||||
UNIVAR INC |
28,935 | 820,307 | ||||||||||
UNIVERSAL CORP |
5,878 | 322,820 | ||||||||||
UNIVERSAL ELECTRONICS INC |
3,755 | 153,016 | ||||||||||
UNIVERSAL HEALTH SVCS INC CL B |
13,065 | 1,694,008 | ||||||||||
UNIVERSAL INSURANCE HLDGS INC |
7,695 | 130,815 | ||||||||||
UNIVERSAL LOGISTICS HOLDINGS INC |
5,021 | 94,696 | ||||||||||
UNIVERSAL STAINLESS & ALLOY |
1,677 | 13,232 | ||||||||||
UNIVERSAL TECH INST INC |
10,011 | 78,286 | ||||||||||
UNIVEST FINANCIAL CORP |
8,292 | 248,097 | ||||||||||
UNUM GROUP |
39,857 | 979,286 | ||||||||||
UPLAND SOFTWARE INC |
2,272 | 40,760 | ||||||||||
URBAN ONE INC CL A |
2,573 | 11,964 | ||||||||||
URBAN ONE INC CL D NON-VTG |
4,268 | 14,469 | ||||||||||
URBAN OUTFITTERS |
20,120 | 590,723 | ||||||||||
US ECOLOGY INC |
4,461 | 142,484 | ||||||||||
US FOODS HOLDING CORP |
30,509 | 1,062,628 | ||||||||||
US SILICA HOLDINGS INC |
20,091 | 188,855 | ||||||||||
US XPRESS ENTERPRISES INC |
7,931 | 46,555 | ||||||||||
USA TRUCK INC |
3,033 | 60,296 | ||||||||||
UTAH MEDICAL PRODUCTS INC |
394 | 39,400 | ||||||||||
VAALCO ENERGY INC |
9,730 | 31,233 | ||||||||||
VAIL RESORTS INC |
2,035 | 667,277 | ||||||||||
VALLEY NATL BANCORP |
117,101 | 1,610,139 | ||||||||||
VANDA PHARMACEUTICALS INC |
14,018 | 219,942 | ||||||||||
VAREX IMAGING CORP |
11,783 | 371,754 | ||||||||||
VECTRUS INC-WI |
3,247 | 148,615 | ||||||||||
VEECO INSTRUMENT |
9,247 | 263,262 | ||||||||||
VENATOR MATERIALS PLC |
21,548 | 54,732 | ||||||||||
VERA BRADLEY INC |
9,554 | 81,305 | ||||||||||
VERINT SYSTEMS INC |
7,112 | 373,451 | ||||||||||
VERITEX HOLDINGS INC |
2,241 | 89,147 | ||||||||||
VERITIV CORP |
4,371 | 535,753 |
40
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
VERSO CORP - A |
9,409 | 254,231 | ||||||||||
VIACOMCBS INC CL B |
106,512 | 3,214,532 | ||||||||||
VIAD CORP |
3,856 | 164,998 | ||||||||||
VIASAT INC |
17,625 | 785,018 | ||||||||||
VIDLER WATER RESOUCES INC |
5,659 | 68,361 | ||||||||||
VIKING THERAPEUTICS INC |
16,073 | 73,936 | ||||||||||
VILLAGE SUPER MKT INC CL A NEW |
3,661 | 85,631 | ||||||||||
VIRNETX HLDG CORP |
3,251 | 8,453 | ||||||||||
VISHAY INTERTECHNOLOGY INC |
41,884 | 916,003 | ||||||||||
VISHAY PRECISION GROUP INC |
3,500 | 129,920 | ||||||||||
VISTA OUTDOOR INC |
11,270 | 519,209 | ||||||||||
VISTRA CORP |
87,066 | 1,982,493 | ||||||||||
VOXX INTERNATIONAL CORP |
6,364 | 64,722 | ||||||||||
VOYA FINANCIAL INC |
23,094 | 1,531,363 | ||||||||||
VSE CORP |
2,996 | 182,576 | ||||||||||
WABASH NATIONAL CORP |
12,774 | 249,348 | ||||||||||
WARRIOR MET COAL INC |
12,918 | 332,122 | ||||||||||
WASHINGTON FEDERAL INC |
20,560 | 686,293 | ||||||||||
WASHINGTON TR BANCORP INC |
4,073 | 229,595 | ||||||||||
WATERSTONE FINANCIAL INC |
7,640 | 167,010 | ||||||||||
WAYSIDE TECHNOLOGY GROUP INC |
397 | 13,919 | ||||||||||
WEBSTER FINANCIAL |
2,492 | 139,153 | ||||||||||
WEIS MARKETS INC |
6,740 | 444,031 | ||||||||||
WERNER ENTERPRISES INC |
17,756 | 846,251 | ||||||||||
WESBANCO INC |
15,539 | 543,710 | ||||||||||
WESCO INTERNATIONAL INC |
11,623 | 1,529,471 | ||||||||||
WESCO INTERNATIONAL INC SER A 10.625%/VAR PFD PERP |
4,600 | 140,990 | ||||||||||
WEST BANCORPORATION INC |
2,428 | 75,438 | ||||||||||
WESTAMERICA BANCORPORATION |
99 | 5,715 | ||||||||||
WESTERN NEW ENGLAND BANCORP INC |
8,462 | 74,127 | ||||||||||
WESTLAKE CHEMICAL CORP |
22,263 | 2,162,405 | ||||||||||
WESTROCK CO |
26,401 | 1,171,148 | ||||||||||
WESTWOOD HOLDINGS GROUP INC |
2,438 | 41,300 | ||||||||||
WEYCO GROUP INC |
3,183 | 76,201 | ||||||||||
WHIRLPOOL CORP |
1,088 | 255,310 | ||||||||||
WHITE MOUNTAINS INS GROUP LTD |
673 | 682,355 | ||||||||||
WHITING PETROLEUM CORP NEW |
7,644 | 494,414 | ||||||||||
WHOLE EARTH BRANDS INC |
2,867 | 30,792 | ||||||||||
WIDEPOINT CORP |
1,899 | 7,463 | ||||||||||
WILEY (JOHN) & SONS INC CL A |
6,449 | 369,334 | ||||||||||
WILEY (JOHN) & SONS INC CL B |
435 | 24,830 | ||||||||||
WILLAMETTE VALLEY VINEYARD INC |
436 | 3,784 | ||||||||||
WILLDAN GROUP |
1,975 | 69,520 | ||||||||||
WILLSCOT MOBILE MINI HOLDINGS CORP |
18,309 | 747,740 | ||||||||||
WINNEBAGO INDUSTRIES INC |
6,366 | 476,941 | ||||||||||
WINTRUST FINANCIAL CORP |
9,739 | 884,496 | ||||||||||
WORLD FUEL SERVICES CORP |
15,049 | 398,347 |
41
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
WORTHINGTON INDUSTRIES INC |
9,348 | 510,962 | ||||||||||
WSFS FINANCIAL CORP |
12,971 | 650,107 | ||||||||||
X4 PHARMACEUTICALS INC |
3,352 | 7,676 | ||||||||||
XEROX HOLDINGS CORP |
53,566 | 1,212,734 | ||||||||||
XPERI HOLDING CORP |
15,783 | 298,457 | ||||||||||
YELP INC |
8,380 | 303,691 | ||||||||||
ZAGG INC CVR RT |
12,558 | 1,130 | ||||||||||
ZEBRA TECHNOLOGIES CORP CL A |
1,718 | 1,022,554 | ||||||||||
ZIFF DAVIS INC |
2,186 | 242,340 | ||||||||||
ZIONS BANCORP |
39,334 | 2,484,335 | ||||||||||
ZOVIO INC |
11,929 | 15,150 | ||||||||||
ZUMIEZ INC |
8,817 | 423,128 | ||||||||||
ZURN WATER SOLUTIONS CORP |
3,634 | 132,278 | ||||||||||
Common Collective Trusts |
||||||||||||
SPARTAN SMALL - MID CAP V |
2,381,548 | 238,654,947 | ||||||||||
FID BANK TRST ST INV FUND |
10,072,510 | 10,072,510 | ||||||||||
|
|
|||||||||||
SMID Cap Value Account Total |
955,125,733 | |||||||||||
PIMCO Total Return Account |
||||||||||||
Mutual Funds |
||||||||||||
HIGH YIELD PORTFOLIO INSTL CL |
5,128,738 | 43,132,687 | ||||||||||
PIMCO ASSET BACK SECS PORT-UNL |
11,414,442 | 141,653,226 | ||||||||||
PIMCO EMMERG MKTS FD INST CL |
5,908,567 | 56,544,987 | ||||||||||
PIMCO INTL PORT FUND(UNLISTED) |
12,962,986 | 70,259,387 | ||||||||||
PIMCO INV GRD CORP PORT(UNLST) |
52,546,630 | 510,227,774 | ||||||||||
PIMCO MTG PORT INSTL CL(UNLST) |
17,266,406 | 184,232,551 | ||||||||||
PIMCO MUNI SECTR PORT INSTL CL |
2,350,811 | 16,573,215 | ||||||||||
PIMCO REAL RETRN BD FD INST CL |
1,249,290 | 7,595,684 | ||||||||||
PIMCO SHORT TM FLT NAV PORT II |
8,573,623 | 85,830,542 | ||||||||||
PIMCO US GOVT SECTOR PORT INST |
30,407,378 | 287,349,727 | ||||||||||
Common Collective Trusts |
||||||||||||
SSBK GOVT STIF FUND |
39,617 | 39,617 | ||||||||||
|
|
|||||||||||
PIMCO Total Return Account Total |
1,403,439,397 | |||||||||||
International Growth Account |
||||||||||||
Currency |
||||||||||||
AUSTRALIAN DOLLAR CURRENCY |
65 | 47 | ||||||||||
BRITISH POUND STERLING CURRENCY |
67 | 90 | ||||||||||
CANADIAN DOLLAR |
78,580 | 62,121 | ||||||||||
DANISH KRONE |
3,089 | 473 | ||||||||||
EURO MONETARY UNIT. |
84,880 | 96,636 | ||||||||||
HONG KONG DOLLAR |
4,727 | 606 | ||||||||||
HUNGARIAN FORINT |
767,982 | 2,367 | ||||||||||
INDIAN RUPEE |
2,261,362 | 30,360 | ||||||||||
JAPANESE YEN |
11,888 | 103 | ||||||||||
MEXICAN PESO CURRENCY |
726,028 | 35,458 | ||||||||||
SOUTH KOREAN WON |
493 | 0 |
42
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
SWEDISH KRONA CURRENCY |
4,835 | 535 | ||||||||||
SWISS FRANC |
519 | 569 | ||||||||||
TAIWAN DOLLAR |
2,023 | 73 | ||||||||||
Publicly-traded Common Stock |
||||||||||||
ACCENTURE PLC CL A |
59,383 | 24,617,223 | ||||||||||
ACCOR SA |
137,473 | 4,452,795 | ||||||||||
ADYEN BV |
1,668 | 4,389,580 | ||||||||||
AIA GROUP LTD |
1,629,600 | 16,426,513 | ||||||||||
AIR LIQUIDE SA |
44,106 | 7,698,915 | ||||||||||
AIRBUS SE |
49,740 | 6,362,833 | ||||||||||
AIRTAC INTERNATIONAL GROUP |
44,000 | 1,619,340 | ||||||||||
AKZO NOBEL NV |
35,498 | 3,899,997 | ||||||||||
AL RAJHI BANK(HSBC BK PLC)(ELN) WT 09/12/22 |
122,594 | 4,630,255 | ||||||||||
ALCON INC |
172,696 | 15,302,321 | ||||||||||
ALIBABA GROUP HOLDING LTD SPON ADR |
109,769 | 13,039,460 | ||||||||||
ALLEGION PLC |
123,136 | 16,308,132 | ||||||||||
ALLFUNDS GROUP PLC |
143,746 | 2,830,574 | ||||||||||
AMADEUS IT GROUP SA |
116,503 | 7,910,570 | ||||||||||
AMDOCS LTD |
144,492 | 10,813,781 | ||||||||||
ANEKA TAMBANG TBK |
6,409,100 | 1,011,786 | ||||||||||
ANGLO AMERICAN PLC |
151,548 | 6,186,654 | ||||||||||
AON PLC |
56,916 | 17,106,673 | ||||||||||
APOLLO HOSP ENTERPRISE LTD |
29,535 | 1,987,901 | ||||||||||
ASIAN PAINTS LTD (DEMAT) |
60,207 | 2,734,437 | ||||||||||
ASML HOLDING NV |
10,648 | 8,567,146 | ||||||||||
ASSA ABLOY AB SER B |
194,540 | 5,946,299 | ||||||||||
ASTRAZENECA PLC |
63,489 | 7,457,486 | ||||||||||
ATLAS COPCO AB SER A |
56,641 | 3,922,660 | ||||||||||
BAIDU INC SPON ADR |
6,149 | 914,910 | ||||||||||
BAJAJ FINANCE LTD |
44,407 | 4,159,721 | ||||||||||
BANCO INTER SA (1CS+2PFD) US |
82,600 | 423,677 | ||||||||||
BANK CENTRAL ASIA |
3,247,600 | 1,663,391 | ||||||||||
BANK RAKYAT INDONESIA TBK PT |
10,368,500 | 2,989,969 | ||||||||||
BHARTI AIRTEL LIMITED |
46,406 | 426,019 | ||||||||||
BUNZL PLC |
250,670 | 9,788,643 | ||||||||||
BUREAU VERITAS SA |
138,945 | 4,615,952 | ||||||||||
BYD COMPANY LTD H |
51,500 | 1,760,797 | ||||||||||
CAE INC |
503,452 | 12,700,228 | ||||||||||
CANADIAN NATL RAILWAY CO |
229,079 | 28,142,095 | ||||||||||
CAPGEMINI SA (FF40) |
23,720 | 5,819,625 | ||||||||||
CAPITEC BANK HOLDINGS LIMITED |
16,662 | 2,132,861 | ||||||||||
CELLNEX TELECOM SAU |
251,171 | 14,635,340 | ||||||||||
CEMEX SA DE CV CPO |
1,729,200 | 1,181,486 | ||||||||||
CENTRE TESTING INTL GRP CO LTD(HSBC)(ELN) WT 05/11 |
345,100 | 1,458,890 | ||||||||||
CHINA INTERNATIONAL CAPITAL CORP LTD H |
490,000 | 1,351,065 | ||||||||||
CHINA LONGYUAN POWER GROUP H |
1,380,000 | 3,221,012 | ||||||||||
CHINA MERCHANTS BANK CO LTD H |
306,000 | 2,376,169 | ||||||||||
CHINASOFT INTERNATIONAL LTD |
636,000 | 828,691 |
43
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
CHONGQING BREWERY CO LTD WT 07/13/23 |
78,400 | 1,866,473 | ||||||||||
CHRISTIAN HANSEN HOLDING SA |
71,226 | 5,619,963 | ||||||||||
CIE FINANCIERE RICHEMONT SA A |
115,073 | 17,295,048 | ||||||||||
CLICKS GROUP LTD |
49,295 | 976,094 | ||||||||||
COMMONWEALTH BK OF AUSTRALIA |
185,953 | 13,664,301 | ||||||||||
COMPASS GROUP PLC |
619,385 | 13,841,465 | ||||||||||
CONTEMPORARY AMPEREX TECHNOLOGY CO LTD WT 07/08/22 |
64,500 | 5,966,867 | ||||||||||
COPA HOLDINGS SA CL A |
16,600 | 1,372,156 | ||||||||||
DAIICHI SANKYO CO LTD |
182,100 | 4,630,466 | ||||||||||
DAVIDE CAMPARI MILANO NV |
390,008 | 5,707,930 | ||||||||||
DELTA ELECTRONICS IND CO LTD |
144,000 | 1,428,829 | ||||||||||
DIAGEO PLC |
489,701 | 26,752,012 | ||||||||||
DLOCAL LTD/URUGUAY |
13,297 | 474,570 | ||||||||||
DOLLARAMA INC |
81,588 | 4,083,431 | ||||||||||
DSV A/S |
32,385 | 7,573,134 | ||||||||||
ECLAT TEXTILE CO LTD |
71,000 | 1,616,489 | ||||||||||
EISAI CO LTD |
45,620 | 2,590,144 | ||||||||||
ERSTE GROUP BANK AG |
122,151 | 5,750,500 | ||||||||||
ESCORTS LTD (DEMAT) |
55,906 | 1,432,588 | ||||||||||
ESSILORLUXOTTICA |
70,759 | 15,083,890 | ||||||||||
EUROFINS SCIENTIFIC SE |
83,368 | 10,326,694 | ||||||||||
FANUC CORPORATION |
36,800 | 7,799,565 | ||||||||||
FERRARI NV |
19,175 | 4,966,493 | ||||||||||
FISHER & PAYKEL HEALTHCARE CORP |
588,459 | 13,203,445 | ||||||||||
FLUTTER ENTERTAINMENT PLC |
34,768 | 5,534,283 | ||||||||||
GEBERIT AG (REG) |
18,647 | 15,249,939 | ||||||||||
GLOBANT SA |
14,028 | 4,406,055 | ||||||||||
GRUPO FINANCIERO BANORTE SAB |
401,300 | 2,607,063 | ||||||||||
GRUPO MEXICO SAB DE CV SER B |
405,500 | 1,768,313 | ||||||||||
GRUPO TELEVISA (CPO) SPON ADR |
1,058,636 | 9,919,419 | ||||||||||
HDFC BANK LTD (DEMAT) |
247,480 | 4,915,312 | ||||||||||
HDFC BANK LTD SPON ADR |
161,488 | 10,508,024 | ||||||||||
HEINEKEN NV |
219,766 | 24,735,127 | ||||||||||
HEXAGON AB SER B |
423,949 | 6,739,589 | ||||||||||
HON HAI PRECISION IND CO LTD |
1,796,000 | 6,739,455 | ||||||||||
HONG KONG EXCHS & CLEARING LTD |
78,700 | 4,596,313 | ||||||||||
HOUSING DEV FN CORP LTD(DEMAT) |
642,894 | 22,323,835 | ||||||||||
HOWDEN JOINERY GROUP PLC |
913,040 | 11,137,438 | ||||||||||
HYUNDAI MOTOR CO |
17,506 | 3,077,557 | ||||||||||
IHS MARKIT LTD |
186,606 | 24,803,670 | ||||||||||
INDITEX SA |
128,534 | 4,174,965 | ||||||||||
INFINEON TECHNOLOGIES AG |
123,700 | 5,740,331 | ||||||||||
INFO EDGE INDIA LTD (DEMAT) |
17,309 | 1,295,909 | ||||||||||
INFOSYS LTD |
58,391 | 1,479,843 | ||||||||||
INFOSYS LTD SPON ADR |
257,770 | 6,524,159 | ||||||||||
INTERCONTINENTAL HOTELS GP PLC |
197,020 | 12,749,800 | ||||||||||
INTERMEDIATE CAPITAL GROUP PLC |
221,236 | 6,570,020 |
44
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
INTERTEK GROUP PLC |
154,550 | 11,777,462 | ||||||||||
JAMES HARDIE INDUSTRES PLC CDI |
110,286 | 4,437,193 | ||||||||||
JD.COM INC CL A |
43,400 | 1,525,043 | ||||||||||
JIANGXI GANFENG LITHIUM CO LTD H |
148,400 | 2,335,180 | ||||||||||
JULIUS BAER GRUPPE AG |
84,630 | 5,682,247 | ||||||||||
KAKAOBANK CORP |
21,802 | 1,081,985 | ||||||||||
KERRY GROUP PLC CL A |
106,119 | 13,682,467 | ||||||||||
KEYENCE CORP |
67,480 | 42,401,586 | ||||||||||
KIA CORP |
56,488 | 3,905,719 | ||||||||||
LI NING CO LTD |
311,000 | 3,404,127 | ||||||||||
LINDE PLC |
72,144 | 25,133,599 | ||||||||||
LOCALIZA RENT A CAR SA |
93,500 | 889,677 | ||||||||||
LONDON STOCK EXCHANGE GRP PLC |
138,387 | 12,980,841 | ||||||||||
LONGI GREEN ENERGY TECHNOLOGY MMA (HSBC)(ELN) 05/0 |
42,100 | 570,951 | ||||||||||
LONGI GREEN ENERGY TECHNOLOGY WT 12/21/22 |
217,700 | 2,952,400 | ||||||||||
LONZA GROUP AG |
7,193 | 6,012,060 | ||||||||||
LOREAL PRIME DE FIDELITE 2023 |
5,000 | 2,373,488 | ||||||||||
LOREAL SA (TEMP) |
33,904 | 16,094,147 | ||||||||||
LOREAL SA ORD |
21,273 | 10,098,242 | ||||||||||
LUKOIL PJSC SPONS ADR |
43,509 | 3,894,056 | ||||||||||
LULULEMON ATHLETICA INC |
14,213 | 5,563,679 | ||||||||||
LVMH MOET HENNESSY LOUIS VUITTON SE |
41,698 | 34,512,997 | ||||||||||
MEDIA TEK INC |
283,510 | 12,173,080 | ||||||||||
MENICON CO LTD |
289,800 | 8,565,765 | ||||||||||
MERCADOLIBRE INC |
1,855 | 2,501,282 | ||||||||||
MINDTREE LIMITED |
28,861 | 1,852,101 | ||||||||||
MOMO.COM INC |
19,300 | 1,131,607 | ||||||||||
MONCLER SPA |
59,840 | 4,361,544 | ||||||||||
MOTHERSON SUMI SYSTEMS LTD |
652,190 | 1,955,187 | ||||||||||
MURATA MFG CO LTD |
54,326 | 4,324,639 | ||||||||||
NAVER CORP |
13,983 | 4,451,836 | ||||||||||
NESTLE SA (REG) |
407,030 | 56,927,023 | ||||||||||
NIDEC CORP |
21,600 | 2,538,746 | ||||||||||
NOTRE DAME INTERMEDICA PARTICIPACOES SA |
62,000 | 671,759 | ||||||||||
NOVO-NORDISK AS CL B |
226,910 | 25,532,390 | ||||||||||
OTP BANK (REG) |
30,715 | 1,571,429 | ||||||||||
PAGSEGURO DIGITAL LTD CL A |
97,165 | 2,547,666 | ||||||||||
PARTNERS GROUP HOLDING AG |
3,930 | 6,523,403 | ||||||||||
PTT EXPLORATION & PROD NVDR |
712,000 | 2,515,073 | ||||||||||
RATIONAL AG |
5,686 | 5,828,749 | ||||||||||
REALTEK SEMICONDUCTOR CORP |
31,000 | 648,746 | ||||||||||
RELIANCE INDS GDR |
75,714 | 4,841,910 | ||||||||||
RELIANCE INDUSTRIES LTD(DEMAT)DEMATERIALIZED SHS |
129,039 | 4,102,566 | ||||||||||
ROCHE HOLDINGS AG (GENUSSCHEINE) |
52,477 | 21,832,782 | ||||||||||
ROTORK PLC |
1,848,407 | 8,936,827 | ||||||||||
RYANAIR HOLDINGS PLC SPON ADR |
43,658 | 4,467,523 | ||||||||||
SAMSUNG BIOLOGICS CO LTD |
4,845 | 3,680,056 |
45
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
SAMSUNG ELECTRONICS CO LTD |
260,801 | 17,176,867 | ||||||||||
SAMSUNG ELECTRONICS CO LTD PFD |
260,158 | 15,580,813 | ||||||||||
SAMSUNG SDI CO LTD |
1,904 | 1,049,014 | ||||||||||
SANDVIK AB |
177,423 | 4,959,723 | ||||||||||
SAP SE |
96,846 | 13,771,371 | ||||||||||
SARTORIUS AG PFD NON VTG |
18,146 | 12,296,368 | ||||||||||
SBERBANK SPONSORED ADR |
191,484 | 3,073,318 | ||||||||||
SCHINDLER HOLDING AG PART CERT |
47,151 | 12,703,655 | ||||||||||
SCHNEIDER ELECTRIC SE |
35,967 | 7,061,966 | ||||||||||
SEA LTD ADR |
4,845 | 1,083,875 | ||||||||||
SHENZHEN MINDRAY BIO-MEDICAL ELECTRONICS CO LTD WT |
33,200 | 1,989,044 | ||||||||||
SHIMANO INC |
49,000 | 13,060,419 | ||||||||||
SHIN-ETSU CHEMICAL CO LTD |
121,083 | 20,968,211 | ||||||||||
SHINHAN FINANCIAL GROUP CO LTD |
107,683 | 3,333,250 | ||||||||||
SHISEIDO CO LTD |
166,000 | 9,256,055 | ||||||||||
SHOPIFY INC CL A |
3,767 | 5,188,628 | ||||||||||
SILERGY CORP |
20,500 | 3,716,850 | ||||||||||
SK HYNIX INC |
33,409 | 3,681,355 | ||||||||||
SK IE TECHNOLOGY CO LTD |
2,459 | 347,489 | ||||||||||
SMC CORP |
6,620 | 4,465,320 | ||||||||||
SMITH & NEPHEW PLC |
248,119 | 4,344,109 | ||||||||||
SONY GROUP CORP |
42,320 | 5,325,411 | ||||||||||
SPIRAX-SARCO ENGINEERING PLC |
70,694 | 15,357,902 | ||||||||||
STANTEC INC |
58,390 | 3,280,586 | ||||||||||
SUNGROW POWER SUPPLY CO LTD A (HSBC) (ELN) 5/24/20 |
51,100 | 1,172,162 | ||||||||||
SVENSKA HANDELSBANKEN SER A |
669,249 | 7,247,815 | ||||||||||
TAIWAN SEMIC MFG CO LTD SP ADR |
565,021 | 67,977,677 | ||||||||||
TAIWAN SEMICONDUCTOR MFG CO LTD |
800,353 | 17,759,953 | ||||||||||
TATA MOTORS LTD |
270,926 | 1,754,621 | ||||||||||
TECHTRONIC INDUSTRIES CO LTD |
1,208,194 | 24,047,516 | ||||||||||
TENCENT HOLDINGS LTD |
216,942 | 12,709,005 | ||||||||||
TITAN CO LTD |
50,693 | 1,716,672 | ||||||||||
TOKYO ELECTRON LTD |
17,200 | 9,910,597 | ||||||||||
TOYOTA INDUSTRIES CORP |
143,200 | 11,440,563 | ||||||||||
ULTRATECH CEMENT LTD |
18,262 | 1,861,125 | ||||||||||
UNICHARM CORP |
208,800 | 9,074,078 | ||||||||||
UNILEVER PLC ORD |
235,366 | 12,609,055 | ||||||||||
UNIVERSAL MUSIC GROUP NV |
125,491 | 3,540,356 | ||||||||||
VOLKSWAG PFD PERP |
25,418 | 5,135,986 | ||||||||||
WAL MART DE MEXICO SAB DE CV V |
885,400 | 3,290,278 | ||||||||||
WEG SA |
386,700 | 2,289,653 | ||||||||||
WUXI APPTEC CO LTD H |
89,500 | 1,549,525 | ||||||||||
WUXI BIOLOGICS (CAYMAN) INC |
200,000 | 2,373,823 | ||||||||||
WUXI LEAD INTELLIGENT EQUIPMENT CO LTD A MMA (HSBC |
32,625 | 381,731 | ||||||||||
WUXI LEAD INTELLIGENT EQUIPMENT CO LTD A MMA (JPM) |
195,400 | 2,286,291 | ||||||||||
XTEP INTERNATIONAL HDG LIMITED |
839,500 | 1,399,606 | ||||||||||
YAMAHA MOTOR CO LTD |
103,600 | 2,484,851 |
46
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
YANDEX NV CL A |
18,740 | 1,133,770 | ||||||||||
YUNNAN ENERGY NEW MATERIAL CO LTD(HSBC)(ELN) WT 05 |
26,000 | 1,024,276 | ||||||||||
ZALANDO SE |
54,646 | 4,425,937 | ||||||||||
Common Collective Trusts |
||||||||||||
SSBK GOVT STIF FUND |
63,417,363 | 63,417,363 | ||||||||||
|
|
|||||||||||
International Growth Account Total |
1,530,540,995 | |||||||||||
International Value Account |
||||||||||||
Currency |
||||||||||||
AUSTRALIAN DOLLAR CURRENCY |
267,208 | 194,408 | ||||||||||
BRAZILIAN REAL |
913,364 | 163,979 | ||||||||||
BRITISH POUND STERLING CURRENCY |
201,381 | 272,579 | ||||||||||
CANADIAN DOLLAR |
301,198 | 238,110 | ||||||||||
CHINESE RENMINBI |
12,171 | 1,915 | ||||||||||
DANISH KRONE |
560,675 | 85,834 | ||||||||||
EURO MONETARY UNIT. |
482,619 | 549,462 | ||||||||||
HONG KONG DOLLAR |
517,105 | 66,316 | ||||||||||
INDIAN RUPEE |
324 | 4 | ||||||||||
ISRAELI SHEKEL |
131,387 | 42,261 | ||||||||||
JAPANESE YEN |
13,229,686 | 115,011 | ||||||||||
MALAYSIAN RINGGIT |
13,131 | 3,152 | ||||||||||
NEW ZEALAND DOLLAR CURRENCY |
0 | 0 | ||||||||||
NORWEGIAN KRONA |
124,065 | 14,088 | ||||||||||
PHILIPPINE PESO |
7,199 | 141 | ||||||||||
POLAND ZLOTY NEW |
1 | 0 | ||||||||||
SINGAPORE DOLLAR CURRENCY |
35,433 | 26,293 | ||||||||||
SOUTH AFRICAN RAND CURRENCY |
6 | 0 | ||||||||||
SOUTH KOREAN WON |
989,809,897 | 832,578 | ||||||||||
SWEDISH KRONA CURRENCY |
379,051 | 41,948 | ||||||||||
SWISS FRANC |
0 | 0 | ||||||||||
TAIWAN DOLLAR |
33,088,104 | 1,193,870 | ||||||||||
TURKISH LIRA (NEW) |
130 | 10 | ||||||||||
UNITED ARAB EMIRATES DIRHAM |
120 | 33 | ||||||||||
Publicly-traded Common Stock |
||||||||||||
3I GROUP PLC |
189,000 | 3,706,846 | ||||||||||
A P MOLLER - MAERSK A/S A |
325 | 1,083,657 | ||||||||||
A P MOLLER - MAERSK A/S B |
2,466 | 8,852,918 | ||||||||||
A2A SPA |
432,249 | 846,439 | ||||||||||
ABN AMRO BANK NV-GDR |
13,532 | 198,986 | ||||||||||
ACE HARDWARE INDONESIA TBK PT |
27,840,600 | 2,500,331 | ||||||||||
ACERINOX SA (REGD) |
77,230 | 1,001,042 | ||||||||||
ACOM CO LTD |
14,200 | 40,861 | ||||||||||
ADECCO GROUP AG |
26,744 | 1,367,724 | ||||||||||
ADVANTECH CO LTD |
480,964 | 6,880,831 | ||||||||||
ADVANTEST CORP |
13,200 | 1,250,804 | ||||||||||
AEGON NV |
71,527 | 357,737 | ||||||||||
AGEAS |
7,966 | 413,106 | ||||||||||
AIA GROUP LTD |
43,000 | 433,444 |
47
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
AJANTA PHARMA LTD |
208,898 | 6,269,660 | ||||||||||
ALIBABA GROUP HOLDING LTD |
313,200 | 4,775,792 | ||||||||||
ALIMENTATION COUCHE A MULT VTG |
19,000 | 796,079 | ||||||||||
ALLIANZ SE (REGD) |
41,855 | 9,894,921 | ||||||||||
ALROSA CO LTD |
1,365,400 | 2,232,973 | ||||||||||
AMADA CO LTD |
53,800 | 532,715 | ||||||||||
AMBEV SA |
1,710,200 | 4,734,521 | ||||||||||
AMCOR PLC |
144,500 | 1,735,445 | ||||||||||
AMERICANAS SA |
257,714 | 1,461,150 | ||||||||||
AMUNDI SA |
58,597 | 4,840,005 | ||||||||||
ANDRITZ AG |
30,500 | 1,575,786 | ||||||||||
ANTOFAGASTA PLC |
136,600 | 2,474,819 | ||||||||||
ARCELORMITTAL SA |
104,605 | 3,351,867 | ||||||||||
AREZZO INDUSTRIA E COMERCIO SA |
3,478 | 47,936 | ||||||||||
ARISTOCRAT LEISURE LTD |
48,607 | 1,540,810 | ||||||||||
AROUNDTOWN SA |
14,500 | 87,824 | ||||||||||
ASAHI GROUP HOLDINGS LTD |
50,600 | 1,968,047 | ||||||||||
ASML HOLDING NV |
8,521 | 6,855,809 | ||||||||||
ASPEED TECH INC |
52,000 | 6,688,797 | ||||||||||
ASR NEDERLAND NV |
37,841 | 1,744,820 | ||||||||||
ASSICURAZIONI GENERALI SPA |
33,494 | 710,416 | ||||||||||
ASTELLAS PHARMA INC |
31,100 | 505,716 | ||||||||||
ATCO LTD CL I NON VTG |
25,000 | 843,907 | ||||||||||
ATLASSIAN CORP PLC CLS A |
1,060 | 404,167 | ||||||||||
AURIZON HOLDINGS LTD |
431,330 | 1,095,211 | ||||||||||
AUSTRALIA & NZ BANKING GRP |
40,962 | 819,850 | ||||||||||
AUTOHOME INC ADR CL A |
66,500 | 1,960,420 | ||||||||||
AVI LTD |
47,497 | 220,272 | ||||||||||
AVIVA PLC |
562,028 | 3,122,048 | ||||||||||
AXA SA |
37,412 | 1,115,312 | ||||||||||
B2GOLD CORPORATION |
165,925 | 653,233 | ||||||||||
BABCOCK INTL GROUP PLC |
379,554 | 1,636,793 | ||||||||||
BAJAJ AUTO LTD |
9,432 | 411,445 | ||||||||||
BALOISE HOLDINGS AG |
2,315 | 378,804 | ||||||||||
BANCA MEDIOLANUM SPA |
52,200 | 515,850 | ||||||||||
BANCO BILBAO VIZ ARGENTARIA SA |
140,656 | 840,718 | ||||||||||
BANCO SANTANDER SA |
2,937,939 | 9,835,513 | ||||||||||
BANCOLOMBIA SA |
293,200 | 2,502,223 | ||||||||||
BANGKOK LIFE ASSURAN LTD NVDR |
4,674,600 | 5,212,658 | ||||||||||
BANGKOK LIFE ASSURANCE LTD(FOR |
52,100 | 58,097 | ||||||||||
BANK HAPOALIM LTD (REG) |
168,564 | 1,740,428 | ||||||||||
BANK LEUMI LE-ISRAEL BM |
61,604 | 662,813 | ||||||||||
BANK OF CHINA HONG KONG LTD |
92,374 | 302,679 | ||||||||||
BANK OF EAST ASIA LTD |
60,200 | 86,468 | ||||||||||
BANK OF MONTREAL |
15,992 | 1,721,768 | ||||||||||
BANK OF NOVA SCOTIA |
16,000 | 1,132,693 | ||||||||||
BARCLAYS PLC ORD |
2,883,330 | 7,298,108 | ||||||||||
BARRATT DEVELOPMENTS PLC |
134,585 | 1,362,613 |
48
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
BASF SE |
134,303 | 9,446,407 | ||||||||||
BAWAG GROUP AG |
6,300 | 388,752 | ||||||||||
BEIERSDORF AG |
5,721 | 588,677 | ||||||||||
BEIJING NEW BLDG MATL PLC A |
842,424 | 4,748,832 | ||||||||||
BEKAERT SA |
22,800 | 1,015,988 | ||||||||||
BELLWAY PLC |
65,447 | 2,955,222 | ||||||||||
BEZEQ THE ISRAELI TELECOM CORP |
853,522 | 1,410,846 | ||||||||||
BLUESCOPE STEEL LTD |
81,800 | 1,243,834 | ||||||||||
BNP PARIBAS |
17,239 | 1,192,709 | ||||||||||
BOUYGUES ORD |
115,051 | 4,124,735 | ||||||||||
BP PLC |
1,523,105 | 6,813,584 | ||||||||||
BRAMBLES LTD |
268,300 | 2,074,994 | ||||||||||
BRIDGESTONE CORP |
53,300 | 2,293,156 | ||||||||||
BROTHER INDUSTRIES |
110,800 | 2,129,695 | ||||||||||
BUNZL PLC |
51,789 | 2,022,356 | ||||||||||
CAIXABANK SA |
1,384,903 | 3,806,183 | ||||||||||
CALLEBAUT (BARRY) AG |
130 | 316,155 | ||||||||||
CANACCORD GENUITY GROUP INC |
35,400 | 422,018 | ||||||||||
CANADIAN APT PPTY REIT TR UNIT |
2,600 | 123,243 | ||||||||||
CANADIAN IMP BK OF COMMERCE |
24,421 | 2,846,655 | ||||||||||
CANADIAN NATL RAILWAY CO |
4,700 | 577,324 | ||||||||||
CANADIAN NATL RESOURCES LTD |
6,300 | 266,204 | ||||||||||
CANADIAN WESTERN BK EDMON ALBT |
6,100 | 175,050 | ||||||||||
CAPITAL POWER CORP |
33,600 | 1,048,149 | ||||||||||
CAPITEC BANK HOLDINGS LIMITED |
51,162 | 6,549,121 | ||||||||||
CATCHER TECHNOLOGY CO LTD |
463,000 | 2,614,451 | ||||||||||
CENTRICA PLC |
1,906,477 | 1,845,066 | ||||||||||
CENTURY PACIFIC FOOD INC |
9,262,445 | 5,312,285 | ||||||||||
CHARTER HALL GROUP STAPLED |
110,740 | 1,658,108 | ||||||||||
CHECK POINT SOFTWARE TECHS LTD |
9,068 | 1,056,966 | ||||||||||
CHIBA BANK LTD |
39,100 | 224,002 | ||||||||||
CHINA HONGXING SPORTS LTD |
3,613,000 | 152,016 | ||||||||||
CHINA MENGNIU DAIRY CO LTD |
378,977 | 2,148,211 | ||||||||||
CHINA OVERSEAS PROPERTY HOLDINGS LTD |
5,250,000 | 5,568,095 | ||||||||||
CHUGAI PHARMACEUTICAL CO LTD |
35,700 | 1,159,172 | ||||||||||
CIA DE DISTRIBUCION INTEGRAL LOGISTA HOLDINGS SA |
49,703 | 991,968 | ||||||||||
CINEWORLD GROUP PLC |
1,425,198 | 617,112 | ||||||||||
CK HUTCHISON HOLDINGS LTD |
1,295,000 | 8,353,714 | ||||||||||
CLICKS GROUP LTD |
294,726 | 5,835,889 | ||||||||||
CNP ASSURANCES |
2,540 | 62,896 | ||||||||||
COCA COLA HBC AG |
38,804 | 1,341,967 | ||||||||||
COMMONWEALTH BK OF AUSTRALIA |
13,743 | 1,009,871 | ||||||||||
CONCORDIA FINANCIAL GROUP LTD |
49,300 | 179,148 | ||||||||||
CONTINENTAL AG |
61,598 | 6,529,741 | ||||||||||
CONVERGE INFORMATION AND COMMUNICATIONS TECHNOLOGY |
5,410,400 | 3,384,152 | ||||||||||
COVESTRO AG |
139,330 | 8,597,595 | ||||||||||
CREDIT AGRICOLE SA |
42,438 | 606,362 |
49
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
CREDIT SAISON CO LTD |
42,700 | 448,790 | ||||||||||
CREDIT SUISSE GROUP AG |
223,533 | 2,176,454 | ||||||||||
CSL LIMITED |
6,700 | 1,417,139 | ||||||||||
D&L INDUSTRIES INC |
12,231,088 | 2,266,349 | ||||||||||
DAI NIPPON PRINTING CO LTD |
42,000 | 1,056,298 | ||||||||||
DAICEL CORP |
172,000 | 1,188,733 | ||||||||||
DAI-ICHI LIFE HOLDINGS INC |
24,500 | 495,303 | ||||||||||
DAIICHI SANKYO CO LTD |
7,500 | 190,711 | ||||||||||
DAITO TRUST CONSTRUCTION |
18,900 | 2,163,896 | ||||||||||
DAIWA SECURITIES GROUP INC |
39,100 | 220,500 | ||||||||||
DAIWA SECURITIES LIVING INVESTMENT CORPORATION |
8 | 8,241 | ||||||||||
DANSKE BK AS |
148,996 | 2,576,388 | ||||||||||
DBS GROUP HOLDINGS LTD |
103,843 | 2,516,706 | ||||||||||
DENSO CORP |
52,100 | 4,315,925 | ||||||||||
DEUTSCHE BANK AG |
47,009 | 589,681 | ||||||||||
DEUTSCHE BOERSE AG |
560 | 93,785 | ||||||||||
DEUTSCHE TELEKOM AG (REGD) |
120,600 | 2,238,041 | ||||||||||
DIAGEO PLC |
32,744 | 1,788,781 | ||||||||||
DIETEREN SA |
10,821 | 2,114,062 | ||||||||||
DINO POLSKA SA |
81,944 | 7,470,070 | ||||||||||
DIRECT LINE INSURANCE GRP PLC |
72,440 | 273,563 | ||||||||||
DNB BANK ASA |
157,480 | 3,612,193 | ||||||||||
DNO ASA CL A |
50,850 | 60,368 | ||||||||||
DOLLARAMA INC |
12,800 | 640,632 | ||||||||||
DRAX GROUP PLC |
155,852 | 1,276,269 | ||||||||||
DUNI AB |
66,200 | 855,687 | ||||||||||
DWS GROUP GMBH & CO KGAA |
18,510 | 747,693 | ||||||||||
EIFFAGE SA (FORM FOUGEROLLE) |
16,660 | 1,715,792 | ||||||||||
EMPIRE CO LTD NON-VTG CL A |
28,200 | 859,187 | ||||||||||
EN JAPAN INC |
2,500 | 70,634 | ||||||||||
ENEL (ENTE NAZ ENERG ELET) SPA |
1,971,984 | 15,819,001 | ||||||||||
ENGIE SA |
22,220 | 329,221 | ||||||||||
ENI SPA |
415,722 | 5,783,720 | ||||||||||
EQUINOR ASA |
24,210 | 648,510 | ||||||||||
ERSTE GROUP BANK AG |
12,156 | 572,268 | ||||||||||
EUROFINS SCIENTIFIC SE |
1,804 | 223,459 | ||||||||||
EVOLUTION MINING LTD |
40,300 | 119,040 | ||||||||||
EVONIK INDUSTRIES AG |
216,874 | 7,029,558 | ||||||||||
EVRAZ PLC |
211,100 | 1,718,978 | ||||||||||
EXOR NV |
4,068 | 365,697 | ||||||||||
FAIRFAX FINL HLDGS LTD SUB VTG |
745 | 366,472 | ||||||||||
FEDERAL BANK LTD |
4,530,241 | 5,048,063 | ||||||||||
FINNING LTD |
49,490 | 1,247,276 | ||||||||||
FIRST CAPITAL REAL ESTATE IN |
73,500 | 1,095,862 | ||||||||||
FLATEX AG |
43,353 | 998,994 | ||||||||||
FLUIDRA SA |
4,530 | 181,541 | ||||||||||
FRESENIUS MED CARE AG & CO AKT |
73,062 | 4,752,967 | ||||||||||
FRESENIUS SE & CO KGAA |
33,700 | 1,358,208 |
50
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
FUJIFILM HOLDINGS CORP |
92,200 | 6,833,845 | ||||||||||
FUJITSU LTD |
11,600 | 1,989,637 | ||||||||||
FUKUOKA FINANCIAL GROUP INC |
99,800 | 1,710,039 | ||||||||||
FUYAO GLASS INDUSTRY GROUP CO LTD A |
740,916 | 5,495,002 | ||||||||||
GALAXY ENT GROUP LTD |
620,000 | 3,212,291 | ||||||||||
GBL (GROUPE BRUXELLES LAMB) SA |
867 | 96,892 | ||||||||||
GILDAN ACTIVEWEAR INC |
37,451 | 1,587,808 | ||||||||||
GLAXOSMITHKLINE PLC |
469,747 | 10,215,181 | ||||||||||
GLOBERIDE INC |
3,000 | 82,413 | ||||||||||
GOODMAN GROUP STAPLED UNIT |
48,557 | 936,183 | ||||||||||
GREAT WEST LIFECO INC |
15,233 | 457,128 | ||||||||||
GREENCORE GROUP PLC |
749,900 | 1,314,460 | ||||||||||
GREGGS PLC |
8,330 | 376,249 | ||||||||||
GRUPO AEROPORTUARIO SAB CV CLB |
390,500 | 5,381,235 | ||||||||||
GRUPO FINANCIERO BANORTE SAB |
649,900 | 4,222,104 | ||||||||||
H&R REAL ESTATE INVT TR US |
16,400 | 210,680 | ||||||||||
HANG SENG BANK LTD |
13,674 | 250,243 | ||||||||||
HANNOVER RUECKVERSICHERUNGS SE(REGD) |
14,495 | 2,758,403 | ||||||||||
HAPVIDA PARTICIPACOES E INVESTIMENTOS SA |
1,781,000 | 3,318,991 | ||||||||||
HEADHUNTER GROUP INC ADR |
112,884 | 5,767,244 | ||||||||||
HEALIUS LTD |
327,300 | 1,257,311 | ||||||||||
HEIDELBERGCEMENT AG |
36,000 | 2,439,487 | ||||||||||
HIKMA PHARMACEUTICALS PLC |
2,303 | 69,171 | ||||||||||
HITACHI LTD |
43,400 | 2,350,535 | ||||||||||
HITACHI METALS LTD |
118,600 | 2,197,136 | ||||||||||
HON HAI PRECISION IND CO LTD |
1,630,753 | 6,119,369 | ||||||||||
HONDA MOTOR CO LTD |
617,800 | 17,347,596 | ||||||||||
HOWDEN JOINERY GROUP PLC |
12,080 | 147,354 | ||||||||||
HOYA CORP |
24,800 | 3,688,846 | ||||||||||
HSBC HOLDINGS PLC |
1,012,407 | 6,148,046 | ||||||||||
HUGO BOSS AG |
11,340 | 690,717 | ||||||||||
HYUNDAI MOBIS |
11,500 | 2,461,833 | ||||||||||
IA FINANCIAL CORP INC |
8,631 | 493,863 | ||||||||||
IBERDROLA SA |
119,830 | 1,420,199 | ||||||||||
IDOM INC |
138,000 | 867,374 | ||||||||||
IG GROUP HLDGS PLC |
20,192 | 222,200 | ||||||||||
IGM FINANCIAL INC |
1,471 | 53,051 | ||||||||||
IIDA GROUP HOLDINGS CO LTD |
94,400 | 2,196,074 | ||||||||||
ILUKA RESOURCES LIMITED |
182,100 | 1,338,117 | ||||||||||
IMPERIAL BRANDS PLC |
293,349 | 6,418,516 | ||||||||||
INCHCAPE PLC |
186,136 | 2,291,434 | ||||||||||
INDUSTRIVARDEN AB SER A |
699 | 22,309 | ||||||||||
INDUSTRIVARDEN AB SER C |
2,766 | 86,964 | ||||||||||
INFINEON TECHNOLOGIES AG |
3,840 | 178,196 | ||||||||||
INFOSYS LTD SPON ADR |
115,700 | 2,928,367 | ||||||||||
ING GROEP NV |
444,819 | 6,199,672 | ||||||||||
INGENIA COMMUNITIES GROUP (STPLD) |
58,861 | 266,367 | ||||||||||
INSURANCE AUSTRALIA GROUP LTD |
47,076 | 145,906 |
51
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
INTERCONTINENTAL HOTELS GP PLC |
18,551 | 1,200,495 | ||||||||||
INTERMEDIATE CAPITAL GROUP PLC |
28,620 | 849,925 | ||||||||||
INTESA SANPAOLO SPA |
413,624 | 1,070,851 | ||||||||||
INVESTOR AB SER B |
18,881 | 475,880 | ||||||||||
IPSOS SA |
30,000 | 1,408,894 | ||||||||||
IREN SPA |
194,986 | 589,166 | ||||||||||
ISRAEL DISCOUNT BANK LTD CL A |
232,497 | 1,565,959 | ||||||||||
ISUZU MOTORS LTD |
369,300 | 4,594,178 | ||||||||||
ITOCHU CORP |
106,600 | 3,260,183 | ||||||||||
JACKSON FINANCIAL INC |
854 | 35,723 | ||||||||||
JAFCO GROUP CO LTD |
9,800 | 563,992 | ||||||||||
JAPAN POST BANK CO LTD |
15,000 | 137,573 | ||||||||||
JAPAN POST HOLDINGS CO LTD |
32,600 | 254,157 | ||||||||||
JAPAN POST INSURANCE CO LTD |
24,300 | 390,811 | ||||||||||
JAZZ PHARMA PLC |
16,100 | 2,051,140 | ||||||||||
JD SPORTS FASHION PLC |
297,670 | 877,541 | ||||||||||
JERONIMO MARTINS & FILHO SGPS |
12,190 | 278,954 | ||||||||||
JOHN WOOD GROUP PLC |
1,427,499 | 3,692,418 | ||||||||||
JULIUS BAER GRUPPE AG |
16,274 | 1,092,673 | ||||||||||
JUMBO SA |
29,800 | 427,484 | ||||||||||
KALBE FARMA PT (DEMAT) |
30,395,114 | 3,444,175 | ||||||||||
KBC GROUPE SA |
28,980 | 2,489,707 | ||||||||||
KDDI CORP |
115,100 | 3,364,046 | ||||||||||
KERING |
3,175 | 2,555,258 | ||||||||||
KESKO OYJ SER B |
16,600 | 554,500 | ||||||||||
KIA CORP |
41,000 | 2,834,840 | ||||||||||
KINGFISHER PLC |
1,677,128 | 7,679,669 | ||||||||||
KINNEVIK AB |
7,063 | 252,272 | ||||||||||
KOH YOUNG TECHNOLOGY INC |
379,428 | 7,563,985 | ||||||||||
KOMATSU LTD |
283,000 | 6,626,623 | ||||||||||
KONINKLIJKE AHOLD DELHAIZE NV |
87,572 | 3,004,481 | ||||||||||
KPN (KON) NV |
1,019,768 | 3,169,546 | ||||||||||
KYOCERA CORP |
124,900 | 7,803,671 | ||||||||||
LA FRANCAISE DES JEUX SAEM |
26,230 | 1,162,860 | ||||||||||
LABORATORIOS FARMA ROVI SA |
1,360 | 114,269 | ||||||||||
LEENO INDUSTRIAL INC |
47,633 | 7,945,177 | ||||||||||
LEG IMMOBILIEN SE |
14,346 | 2,004,049 | ||||||||||
LEGAL & GENERAL GROUP PLC ORD |
190,240 | 766,061 | ||||||||||
LEGRAND SA |
1,903 | 222,940 | ||||||||||
LG ELECTRONICS INC |
22,200 | 2,576,944 | ||||||||||
LG UPLUS CORP |
150,915 | 1,726,411 | ||||||||||
LIC HOUSING FINANCE (DEMAT) DEMATERIALIZED SHS |
723,905 | 3,592,507 | ||||||||||
LINDE PLC |
6,544 | 2,267,038 | ||||||||||
LLOYDS BANKING GROUP PLC |
16,262,958 | 10,522,083 | ||||||||||
LOBLAW COS LTD DTC ELIGIBLE |
9,900 | 811,128 | ||||||||||
LOCAWEB SERVICOS DE INTERNET SA |
592,000 | 1,398,693 | ||||||||||
LOJAS RENNER SA |
418,440 | 1,836,028 | ||||||||||
LONZA GROUP AG |
2,020 | 1,688,358 |
52
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
LOOMIS AB |
52,600 | 1,401,122 | ||||||||||
LOREAL SA ORD |
2,397 | 1,137,850 | ||||||||||
LUNDIN MINING CORP |
342,800 | 2,677,469 | ||||||||||
LVMH MOET HENNESSY LOUIS VUITTON SE |
439 | 363,356 | ||||||||||
M&G PLC |
132,488 | 357,762 | ||||||||||
MACQUARIE GROUP LTD |
3,021 | 451,455 | ||||||||||
MAGNA INTL INC |
37,331 | 3,020,537 | ||||||||||
MANULIFE FINANCIAL CORP |
166,622 | 3,175,822 | ||||||||||
MARUBENI CORP |
279,900 | 2,724,055 | ||||||||||
MEDIOBANCA SPA |
26,442 | 304,354 | ||||||||||
MERCIALYS |
78,164 | 762,642 | ||||||||||
MERCK KGAA |
7,445 | 1,924,082 | ||||||||||
METHANEX CORP |
69,500 | 2,749,342 | ||||||||||
METRO AG |
20,551 | 215,723 | ||||||||||
MICHELIN CL B (REG) |
55,230 | 9,064,059 | ||||||||||
MITSUBISHI CORP |
59,800 | 1,898,545 | ||||||||||
MITSUBISHI ELECTRIC CORP ORD |
585,700 | 7,426,267 | ||||||||||
MITSUBISHI HC CAPITAL INC |
32,400 | 160,268 | ||||||||||
MITSUBISHI UFJ FINL GRP INC |
139,600 | 758,376 | ||||||||||
MITSUI & CO LTD |
148,500 | 3,515,950 | ||||||||||
MITSUI MATSUSHIMA CO HOLDINGS LTD |
22,100 | 363,306 | ||||||||||
MIZRAHI TEFAHOT BANK LTD |
26,071 | 1,006,295 | ||||||||||
MIZUHO FINANCIAL GROUP INC |
30,120 | 383,079 | ||||||||||
MONDI PLC |
127,417 | 3,149,216 | ||||||||||
MR PRICE GROUP LIMITED |
222,641 | 2,787,379 | ||||||||||
MS&AD INSURANCE GRP HLDGS INC |
102,800 | 3,171,670 | ||||||||||
MUNICH REINSURANCE (REG) |
10,741 | 3,185,558 | ||||||||||
MUTHOOT FINANCE LTD |
207,016 | 4,156,801 | ||||||||||
NATIONAL AUSTRALIA BANK LTD |
34,728 | 728,682 | ||||||||||
NATIONAL BANK OF CANADA DTC ELIGIBLE |
9,382 | 715,285 | ||||||||||
NATWEST GROUP PLC |
995,074 | 3,039,914 | ||||||||||
NCSOFT CORPORATION |
11,583 | 6,264,768 | ||||||||||
NEC CORP |
5,600 | 258,506 | ||||||||||
NEXT PLC |
22,600 | 2,493,104 | ||||||||||
NIEN MADE ENTERPRISE CO LTD |
385,000 | 5,730,200 | ||||||||||
NIKON CORP |
40,100 | 432,270 | ||||||||||
NIPPON LIGHT METAL HLDG CO LTD |
46,800 | 701,410 | ||||||||||
NIPPON REIT INVESTMENT CORP |
126 | 449,100 | ||||||||||
NIPPON SUISAN KAISHA LTD |
45,400 | 214,311 | ||||||||||
NIPPON TELEGRAPH & TELEPHONE |
444,900 | 12,183,213 | ||||||||||
NIPPON YUSEN KABUSHIKI KAISHA |
9,300 | 708,233 | ||||||||||
NITTO DENKO CORP (NITTO ELECTRIC) |
2,700 | 208,667 | ||||||||||
NN GROUP NV |
39,891 | 2,162,251 | ||||||||||
NOKIA OYJ |
1,083,420 | 6,875,382 | ||||||||||
NOMURA HOLDINGS INC |
61,900 | 269,975 | ||||||||||
NORDEA BANK ABP |
82,639 | 1,010,559 | ||||||||||
NORSK HYDRO AS ORD |
43,700 | 344,973 | ||||||||||
NOVARTIS AG (REG) |
182,229 | 16,055,031 |
53
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
NOVO-NORDISK AS CL B |
33,999 | 3,825,639 | ||||||||||
NS UNITED KAIUN KAISHA LTD |
15,400 | 467,904 | ||||||||||
NUTRIEN LTD |
27,400 | 2,059,522 | ||||||||||
OCI NV |
4,109 | 107,690 | ||||||||||
OLYMPUS CORP |
31,800 | 732,453 | ||||||||||
ONEX CORP SUB-VTG |
2,940 | 230,747 | ||||||||||
OPEN TEXT CORPORATION |
47,000 | 2,230,823 | ||||||||||
ORIX CORP |
19,800 | 404,073 | ||||||||||
ORKLA ASA |
173,396 | 1,739,759 | ||||||||||
OVERSEA-CHINESE BKG CORP LTD |
80,899 | 684,364 | ||||||||||
PACIFIC BASIN SHIPPING LTD |
2,841,000 | 1,042,027 | ||||||||||
PANASONIC CORP |
462,300 | 5,083,974 | ||||||||||
PANDORA A/S |
12,100 | 1,510,451 | ||||||||||
PARADE TECHNOLOGIES LTD |
65,000 | 4,960,310 | ||||||||||
PAREX RESOURCES INC |
25,000 | 427,092 | ||||||||||
PARK SYSTEMS CORP |
28,477 | 3,664,870 | ||||||||||
PARTNERS GROUP HOLDING AG |
522 | 866,467 | ||||||||||
PERNOD-RICARD |
1,966 | 473,399 | ||||||||||
PHARMA FOODS INTL CO LTD |
4,900 | 90,094 | ||||||||||
PHOENIX GROUP HOLDINGS PLC |
20,487 | 181,134 | ||||||||||
PLUS500 LTD |
25,305 | 465,993 | ||||||||||
POPULAR INC |
45,500 | 3,732,820 | ||||||||||
POSCO |
18,694 | 4,316,359 | ||||||||||
POSTE ITALIANE SPA |
27,490 | 361,172 | ||||||||||
POWER CORP OF CANADA SUB VTG |
19,128 | 632,081 | ||||||||||
POYA CO LTD |
225,670 | 3,448,358 | ||||||||||
PRUDENTIAL PLC |
34,162 | 589,328 | ||||||||||
PUBLICIS GROUPE SA |
113,436 | 7,645,496 | ||||||||||
QBE INSURANCE GROUP LTD |
38,730 | 319,820 | ||||||||||
QUALITAS CONTROLADO SAB DE CV |
1,201,000 | 6,093,716 | ||||||||||
RAIFFEISEN BANK INTERNTNL AG |
37,337 | 1,100,112 | ||||||||||
RECKITT BENCKISER GROUP PLC |
28,783 | 2,470,794 | ||||||||||
RED ELECTRICA CORPORACION SA |
47,065 | 1,019,426 | ||||||||||
REDROW PLC |
101,035 | 958,386 | ||||||||||
RENAULT SA ORD |
2,750 | 95,633 | ||||||||||
REPSOL SA |
164,600 | 1,955,676 | ||||||||||
RESONA HOLDINGS INC |
506,300 | 1,969,213 | ||||||||||
REXEL SA |
357,601 | 7,259,105 | ||||||||||
RHEINMETALL AG ORD |
13,741 | 1,299,401 | ||||||||||
RHI MAGNESITA NV |
94,267 | 4,218,294 | ||||||||||
ROCHE HOLDINGS AG (GENUSSCHEINE) |
27,723 | 11,534,009 | ||||||||||
ROHM CO LTD |
2,100 | 191,141 | ||||||||||
ROYAL BANK OF CANADA |
13,898 | 1,475,004 | ||||||||||
ROYAL MAIL PLC |
49,600 | 339,709 | ||||||||||
RUBIS & CIE SA |
15,717 | 469,891 | ||||||||||
SAAB AB CL B |
14,200 | 361,907 | ||||||||||
SAINSBURY (J) PLC |
1,317,744 | 4,919,258 | ||||||||||
SAMSUNG ELECTRONICS CO LTD |
38,997 | 2,568,419 |
54
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
SANOFI |
134,058 | 13,519,525 | ||||||||||
SAP SE |
22,918 | 3,258,909 | ||||||||||
SARTORIUS STEDIM BIOTECH |
4,200 | 2,306,692 | ||||||||||
SBI HOLDINGS INC |
2,400 | 65,409 | ||||||||||
SCHNEIDER ELECTRIC SE |
27,116 | 5,324,110 | ||||||||||
SCOR SE |
66,251 | 2,069,710 | ||||||||||
SECOM CO LTD |
18,500 | 1,284,369 | ||||||||||
SEKISUI CHEMICAL CO LTD |
26,300 | 439,438 | ||||||||||
SEKISUI HOUSE LTD |
29,100 | 624,601 | ||||||||||
SFL CORP LTD |
21,500 | 175,225 | ||||||||||
SHELL PLC CL A |
579,778 | 12,743,880 | ||||||||||
SHELL PLC CL B |
182,552 | 4,008,841 | ||||||||||
SHIMAMURA CORP |
1,700 | 142,763 | ||||||||||
SHINHAN FINANCIAL GROUP CO LTD |
89,270 | 2,763,289 | ||||||||||
SHIZUOKA BANK LTD |
11,400 | 81,464 | ||||||||||
SHOPIFY INC CL A |
634 | 873,265 | ||||||||||
SICHUAN SWELLFUN CO LTD A |
236,693 | 4,468,273 | ||||||||||
SIEMENS AG (REGD) |
18,247 | 3,171,806 | ||||||||||
SIGNIFY NV |
14,156 | 657,235 | ||||||||||
SILERGY CORP |
32,000 | 5,801,912 | ||||||||||
SINGAPORE TELECOM LTD (SING) |
1,500,800 | 2,583,746 | ||||||||||
SITC INTL HOLDINGS CO LTD |
126,000 | 455,682 | ||||||||||
SK HYNIX INC |
27,750 | 3,057,787 | ||||||||||
SKANDINAVISKA ENSKI BK SER A |
44,452 | 619,097 | ||||||||||
SKF AB SER B |
105,300 | 2,499,596 | ||||||||||
SNAM SPA |
1,424,741 | 8,596,958 | ||||||||||
SOCIETE GENERALE SA CL A |
16,112 | 554,066 | ||||||||||
SOJITZ CORPORATION |
72,100 | 1,083,098 | ||||||||||
SOLVAY CL A |
19,000 | 2,210,739 | ||||||||||
SOMPO HOLDINGS INC |
9,700 | 409,739 | ||||||||||
SONY GROUP CORP |
102,900 | 12,948,600 | ||||||||||
SOUTH32 |
1,130,001 | 3,296,750 | ||||||||||
SPAREBANK 1 SR BK CAP CERTS |
187,000 | 2,828,395 | ||||||||||
SPAREBANKEN VEST AS |
66,085 | 751,908 | ||||||||||
SSE PLC |
442,550 | 9,877,733 | ||||||||||
ST GOBAIN CIE DE |
95,620 | 6,735,377 | ||||||||||
STANDARD CHARTERED PLC |
615,342 | 3,734,706 | ||||||||||
STANTEC INC |
3,067 | 172,316 | ||||||||||
STELLANTIS NV |
49,020 | 930,787 | ||||||||||
STMICROELECTRONICS NV |
9,250 | 456,735 | ||||||||||
STOCKLAND UNITS (STAPLED) |
174,990 | 539,811 | ||||||||||
STRAUMANN HOLDG AG (REGD) |
660 | 1,403,007 | ||||||||||
SUMCO CORPORATION |
19,800 | 404,331 | ||||||||||
SUMITOMO CORP |
29,500 | 436,101 | ||||||||||
SUMITOMO FORESTRY CO LTD |
52,500 | 1,015,952 | ||||||||||
SUMITOMO MITSUI FINL GROUP INC |
84,500 | 2,896,492 | ||||||||||
SUMITOMO MITSUI TR HLDGS INC |
73,100 | 2,442,174 | ||||||||||
SUN LIFE FINANCIAL INC |
14,048 | 781,944 |
55
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
SUNCOR ENERGY INC |
51,900 | 1,298,577 | ||||||||||
SUNCORP GROUP LTD |
44,435 | 357,879 | ||||||||||
SUNTORY BEVERAGE & FOOD LTD |
15,900 | 575,015 | ||||||||||
SUZUKI MOTOR CORP |
33,400 | 1,286,000 | ||||||||||
SVENSKA HANDELSBANKEN SER A |
338,782 | 3,668,932 | ||||||||||
SWEDBANK AB A |
24,371 | 491,131 | ||||||||||
SWISS LIFE HLDGS AG (NEW) |
1,403 | 860,708 | ||||||||||
SWISS RE LTD |
4,710 | 466,555 | ||||||||||
SYDBANK AS |
2,580 | 81,681 | ||||||||||
T&D HOLDINGS INC |
109,000 | 1,394,836 | ||||||||||
TAIWAN SEMICONDUCTOR MFG CO LTD |
344,000 | 7,633,412 | ||||||||||
TAKEDA PHARMACEUTICAL CO LTD |
285,800 | 7,794,094 | ||||||||||
TAMA HOME CO LTD |
28,300 | 568,559 | ||||||||||
TAYLOR WIMPEY PLC |
1,278,666 | 3,037,446 | ||||||||||
TCS GROUP HOLDING PLC GDR |
63,444 | 5,349,598 | ||||||||||
TEAMLEASE SERVICES LTD |
59,895 | 3,348,559 | ||||||||||
TECAN GROUP AG |
3,919 | 2,389,162 | ||||||||||
TECHNIP ENERGIES NV ADR |
92,816 | 1,345,832 | ||||||||||
TECHNIPFMC PLC |
503,085 | 2,978,263 | ||||||||||
TELIA CO AB |
1,610,505 | 6,310,167 | ||||||||||
TELSTRA CORP LTD |
796,500 | 2,422,283 | ||||||||||
TESCO PLC |
3,939,799 | 15,459,541 | ||||||||||
THAI BEVERAGE PUBLIC CO LTD |
8,888,900 | 4,353,424 | ||||||||||
TIS INC |
7,500 | 223,311 | ||||||||||
TISCO FINANCIAL GROUP PCL(FOR) |
228,800 | 657,530 | ||||||||||
TOKIO MARINE HOLDINGS INC |
152,600 | 8,479,694 | ||||||||||
TOKYO CENTURY CORP |
1,500 | 72,764 | ||||||||||
TOKYO ELECTRON LTD |
2,600 | 1,498,114 | ||||||||||
TOKYO GAS CO LTD |
24,500 | 439,181 | ||||||||||
TOKYO SEIMITSU CO LTD |
21,900 | 970,964 | ||||||||||
TOKYO STEEL MFG CO LTD |
21,900 | 262,160 | ||||||||||
TOKYOTOKEIBA CO LTD |
24,900 | 923,224 | ||||||||||
TOMY COMPANY LTD |
10,500 | 100,317 | ||||||||||
TOREX GOLD RESOURCES INC |
90,000 | 935,610 | ||||||||||
TORONTO-DOMINION BANK |
74,899 | 5,742,286 | ||||||||||
TOURMALINE OIL CORP |
4,300 | 138,829 | ||||||||||
TRANSACTION CAPITAL |
733,049 | 2,071,490 | ||||||||||
TRAVELSKY TECHNOLOGY LTD H |
2,225,000 | 3,743,740 | ||||||||||
TRAVIS PERKINS PLC |
299,082 | 6,292,965 | ||||||||||
TRITAX BIG BOX REIT PLC |
52,600 | 177,280 | ||||||||||
UBS GROUP AG |
495,029 | 8,920,518 | ||||||||||
UNICREDIT SPA |
57,649 | 888,939 | ||||||||||
UNIPOL GRUPPO SPA |
194,651 | 1,059,075 | ||||||||||
UNITED LAB INT HLDGS |
594,000 | 332,135 | ||||||||||
UNITED OVERSEAS BANK (LOC) |
592,454 | 11,826,219 | ||||||||||
USHIO INC |
17,500 | 290,576 | ||||||||||
V TECHNOLOGY CO LTD |
5,100 | 159,389 | ||||||||||
VARUN BEVERAGES LTD |
503,217 | 6,001,231 |
56
MICROSOFT CORPORATION
SAVINGS PLUS 401(k) PLAN
EMPLOYER ID 91-1144442, PLAN 001
SUPPLEMENTAL SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2021
Identity of Issue, Borrower, Lessor, or Similar Party | Shares or Units | Cost ** | Current Value | |||||||||
VINCI SA |
22,617 | 2,392,382 | ||||||||||
VISTRY GROUP PLC |
21,009 | 336,691 | ||||||||||
VITROLIFE AB |
23,554 | 1,459,711 | ||||||||||
VIVENDI |
35,290 | 477,712 | ||||||||||
VODAFONE GROUP PLC |
2,535,805 | 3,853,144 | ||||||||||
VOLKSWAG PFD PERP |
27,945 | 5,646,594 | ||||||||||
WEICHAI POWER CO LTD H |
1,099,000 | 2,150,770 | ||||||||||
WEIMOB INC |
1,868,000 | 1,890,148 | ||||||||||
WEST HOLDINGS CORP |
7,600 | 378,580 | ||||||||||
WESTON GEORGE LTD |
8,800 | 1,020,284 | ||||||||||
WESTPAC BANKING CORP |
40,470 | 628,628 | ||||||||||
WH GROUP LTD |
7,953,287 | 4,987,666 | ||||||||||
WHITEHAVEN COAL LTD |
280,682 | 532,989 | ||||||||||
WILMAR INTERNATIONAL LTD |
962,100 | 2,955,695 | ||||||||||
WIZZ AIR HOLDINGS PLC |
82,030 | 4,650,008 | ||||||||||
WPP PLC NEW (UK) |
553,437 | 8,386,227 | ||||||||||
YAMAZAKI BAKING CO LTD |
27,800 | 369,281 | ||||||||||
YARA INTERNATIONAL ASA |
93,803 | 4,739,919 | ||||||||||
ZHEJIANG SUPOR COOKWARE CO LTD A |
604,408 | 5,918,465 | ||||||||||
ZIM INTEGRATED SHIPPING SERVICES LTD |
27,900 | 1,642,194 | ||||||||||
ZURICH INSURANCE GROUP AG |
1,997 | 877,523 | ||||||||||
Common Collective Trusts |
||||||||||||
FID BANK TRST ST INV FUND |
2,896,207 | 2,896,207 | ||||||||||
SSBK GOVT STIF FUND |
83,672,687 | 83,672,687 | ||||||||||
|
|
|||||||||||
International Value Account Total |
1,236,307,983 | |||||||||||
Investments held by trustee |
47,805,902,852 | |||||||||||
Participant Loans* Interest 3.25%-9.00%, maturing through October 2046 |
|
188,454,373 | ||||||||||
|
|
|||||||||||
Total Investments |
$ | 47,994,357,225 | ||||||||||
|
|
* | Party-in-interest |
** | Information not presented because investments are participant directed |
57
Exhibit 23.1
CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
We consent to the incorporation by reference in Registration Statement Nos. 333-118764, 333-75243 and 333-185757 on Form S-8 of our report dated June 23, 2022, relating to the financial statements and supplemental schedule of the Microsoft Corporation Savings Plus 401(k) Plan appearing in this Annual Report on Form 11-K of Microsoft Corporation Savings Plus 401(k) Plan for the year ended December 31, 2021.
/s/ Deloitte & Touche LLP
Seattle, Washington
June 23, 2022