06/10/2026 | Press release | Distributed by Public on 06/10/2026 14:59
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[x] ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
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[ ] TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
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A. Full title of the plan and the address of the plan, if different from that of the issuer named below:
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B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
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Page
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Financial Statements
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Statements of Net Assets Available for Benefits
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3
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Statement of Changes in Net Assets Available for Benefits
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4
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Notes to Financial Statements
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5-9
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Supplemental Schedule
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Schedule H, Line 4i - Schedule of Assets (Held At End Of Year)
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10-11
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Report of Independent Registered Public Accounting Firm
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12
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Signature
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13
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Exhibit Index
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14
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December 31,
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2025
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2024
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Assets
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Investments, at fair value (Note 5):
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Exxon Mobil Corporation common stock
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7,361
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7,165
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Other investments
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18,291
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16,256
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Other investments on loan
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-
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2
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Total investments
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25,652
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23,423
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Receivables:
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Notes receivable from participants
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116
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118
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Other receivables
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15
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169
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Total receivables
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131
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287
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Total assets
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25,783
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23,710
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Liabilities
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Payables and accrued liabilities
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104
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71
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Payables for cash collateral on securities on loan
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-
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2
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Total liabilities
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104
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73
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Net assets available for benefits
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25,679
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23,637
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Contributions:
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Employer
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300
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Participant
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466
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Transfers-in at fair value
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25
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Total contributions
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791
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Investment income/(loss):
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Interest
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122
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Dividends
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264
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Net appreciation/(depreciation) in fair value of investments
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3,120
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Net investment income/(loss)
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3,506
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Interest income on notes receivable from participants
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9
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Benefit payments
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(2,264)
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Net increase/(decrease)
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2,042
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Net assets available for benefits:
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Beginning of year
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23,637
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End of year
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25,679
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Fair Value Measurements at
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December 31, 2025 Using*
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(millions of dollars)
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Description of investments
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Value
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Quoted Prices In
Active Markets for
Identical Assets
(Level 1)
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Significant Other
Observable Inputs
(Level 2)
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ExxonMobil common stock
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7,361
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7,361
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(1)
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U.S. Government Securities
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2,936
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2,936
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(2)
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Corporate Debt Securities
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100
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100
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(2)
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Total
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10,397
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7,361
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3,036
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Common/Collective trusts (at net asset value)**:
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S&P 500 Fund
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8,004
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(3)
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Small & Mid Cap Fund
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3,293
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(3)
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World Ex-US Equity Fund
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2,390
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(3)
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Aggregate Bond Fund
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1,322
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(4)
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Short term investments
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246
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(5)
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Total
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25,652
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Fair Value Measurements at
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December 31, 2024 Using*
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(millions of dollars)
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Description of investments
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Value
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Quoted Prices In
Active Markets for
Identical Assets
(Level 1)
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Significant Other
Observable Inputs
(Level 2)
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ExxonMobil common stock
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7,165
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7,165
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(1)
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U.S. Government Securities
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2,893
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2,893
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(2)
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Corporate Debt Securities
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34
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34
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(2)
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Total
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10,092
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7,165
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2,927
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Common/Collective trusts (at net asset value)**:
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S&P 500 Fund
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6,991
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(3)
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Small & Mid Cap Fund
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3,074
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(3)
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World Ex-US Equity Fund
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1,798
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(3)
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Aggregate Bond Fund
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1,172
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(4)
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Short term investments
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296
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(5)
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Total
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23,423
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(a)
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(b)
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(c)
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(d)
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(e)
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IDENTITY OF ISSUE
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DESCRIPTION OF INVESTMENT
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COST
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CURRENT
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*
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**
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VALUE
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coupon
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maturity
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par/units
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(000's)
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($000's)
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U.S. GOVERNMENT SECURITIES
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FEDERAL FARM CREDIT
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4.070%
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11/20/28
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70,000
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69,983
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FEDERAL HO
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4.050%
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12/04/28
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40,000
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39,910
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FEDERAL HO
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4.050%
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12/04/28
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40,000
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40,006
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FEDERAL HOME LN MTG
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4.150%
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11/13/28
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20,000
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19,999
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FEDERAL HOME LN MTG
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4.200%
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11/16/28
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50,000
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49,994
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FEDERAL HOME LN MTG
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4.200%
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11/06/28
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25,000
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25,000
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FNMA DTD
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4.160%
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09/29/28
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25,000
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25,000
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FNMA DTD
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4.180%
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09/29/28
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25,000
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25,000
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FNMA
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4.160%
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09/21/28
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50,000
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49,956
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FREDDIE MAC
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4.210%
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11/17/28
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50,000
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50,000
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U.S SAVINGS BOND SERIES I
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3.160%
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01/01/40
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269,263
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269,263
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U.S SAVINGS BOND SERIES I
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2.860%
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01/01/43
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31,402
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31,402
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U.S SAVINGS BOND SERIES I
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3.570%
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02/01/39
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294,902
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294,902
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U.S SAVINGS BOND SERIES EE
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3.000%
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03/01/38
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148,331
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148,331
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U.S SAVINGS BOND SERIES I
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5.900%
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10/01/31
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575,018
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575,018
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U.S SAVINGS BOND SERIES I
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4.480%
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01/01/33
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403,852
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403,852
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U.S SAVINGS BOND SERIES I
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4.080%
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02/01/38
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343,798
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343,798
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U.S SAVINGS BOND SERIES I
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4.890%
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10/01/32
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228,886
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228,886
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U.S SAVINGS BOND SERIES I
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3.220%
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05/01/44
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245,841
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245,841
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TOTAL U.S. GOVERNMENT SECURITIES
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2,936,141
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(a)
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(b)
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(c)
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(d)
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(e)
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IDENTITY OF ISSUE
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DESCRIPTION OF INVESTMENT
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COST
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CURRENT
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*
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**
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VALUE
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coupon
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maturity
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par/units
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(000's)
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($000's)
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CORPORATE DEBT SECURITIES
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BK MONTREAL CH
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4.250%
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09/08/28
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5,000
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4,985
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BK MONTREAL MEDIU
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4.750%
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03/31/28
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10,000
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10,008
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CITIGROUP INC VAR
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4.200%
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09/08/28
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10,000
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9,982
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CR AGRICOLE CORP
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4.200%
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09/22/28
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15,000
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14,734
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INTL BUSINESS
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3.450%
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02/19/26
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2,500
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2,498
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NATL BK CDA STR
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4.250%
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09/15/28
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15,000
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15,004
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PVTPL JACKSON
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5.500%
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01/09/26
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1,286
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1,286
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ROYAL BANK OF CA
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4.700%
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03/24/28
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15,000
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15,025
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MACQUARIE GROUP LTD
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0.000 %
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01/22/26
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15,000
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14,965
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OVERWATCH BRAVO FDG
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0.000 %
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01/28/26
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11,200
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11,167
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TOTAL CORPORATE DEBT SECURITIES
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99,654
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*
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PARTICIPANT LOANS
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3.75% to 10.00% Maturity from 1 to 180 months
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116,202
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COMMON/COLLECTIVE TRUSTS
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*
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NT S&P 500 INDEX FUND
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299
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8,004,223
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*
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NT EXTENDED EQUITY MARKET INDEX FUND
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2,267
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3,292,528
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*
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NT WORLD EX-US INVESTABLE MARKET INDEX FUND
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7,736
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2,390,522
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*
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NT AGGREGATE BOND INDEX FUND
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2,138
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1,321,654
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*
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NT GOVERNMENT STIF FUND
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246,322
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246,322
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TOTAL COMMON/COLLECTIVE TRUSTS
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15,255,249
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COMMON STOCK
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*
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EXXON MOBIL CORPORATION
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61,166
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7,360,786
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TOTAL ASSETS HELD
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25,768,032
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ExxonMobil Savings Plan
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/s/ Kristy A. Walker
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Kristy A. Walker
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Administrator-Accounting
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Dated: June 10, 2026
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23
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Consent of PricewaterhouseCoopers LLP, Independent Registered Public Accounting Firm Dated June
10, 2026
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