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Cigna Group Annual Report 2023

Jun 29, 2023

29918_rns_2023-06-29_8e9d2d01-ae06-4028-9a3a-f27d6ba62ce1.zip

Annual Report

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11-K 1 cigna11k.htm THE CIGNA GROUP FORM 11-K

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 11-K

(Mark One)

☒ ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2022

OR

☐ TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from _ to ___

Commission File Number 001-38769

A. Full title of the plan and the address of the plan, if different from that of the issuer named below:

Cigna 401(k) Plan

B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:

The Cigna Group 900 Cottage Grove Road Bloomfield, Connecticut 06002

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CIGNA 401(k) PLAN

Financial Statements and

Supplemental Schedule

December 31, 2022 and 2021

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CIGNA 401(k) PLAN TABLE OF CONTENTS
Page
Report of Independent Registered Public Accounting Firm 4
Financial Statements
Statements of Net Assets Available for Benefits as of December 31, 2022 and 2021 6
Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2022 7
Notes to the Financial Statements 8
Supplemental Schedule*
Form 5500 Schedule H, Line 4i - Schedule of Assets (Held at End of Year) as of December 31, 2022 18
*Other supplemental schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under ERISA have been omitted because they are not applicable

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Report of Independent Registered Public Accounting Firm

To the Administrator and Plan Participants of Cigna 401(k) Plan

Opinion on the Financial Statements

We have audited the accompanying statements of net assets available for benefits of Cigna 401(k) Plan (the “Plan”) as of December 31, 2022 and 2021 and the related statement of changes in net assets available for benefits for the year ended December 31, 2022, including 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, 2022 and 2021, and the changes in net assets available for benefits for the year ended December 31, 2022 in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on the Plan’s 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 of these financial statements 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.

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Supplemental Information

The supplemental Schedule H, Line 4i - Schedule of Assets (Held at End of Year) as of December 31, 2022 has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental schedule is the responsibility of the Plan’s 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 conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the supplemental schedule is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

June 29, 2023

We have served as the Plan’s auditor since at least 1994. We have not been able to determine the specific year we began serving as auditor of the Plan.

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CIGNA 401(k) PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
As of
December 31,
2022 2021
(In thousands)
Assets
Investments, at fair value (See Note 4) $ 7,818,137 $ 8,883,913
Investments, at contract value (See Note 5) 3,685,084 3,697,864
Notes receivable 146,070 141,821
Employer contributions receivable 18,680 19,792
Net assets available for benefits $ 11,667,971 $ 12,743,390
The accompanying Notes to the Financial Statements are an integral part of these statements.

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CIGNA 401(k) PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
For the Year Ended
December 31, 2022
(In thousands)
Investment Income (loss)
Net depreciation in fair value of investments $ (1,160,079 )
Other investment income 124
Interest 97,607
Dividends 16,400
Net investment loss (1,045,948 )
Interest income on notes receivable from participants 7,647
Contributions
Employee contributions 491,590
Employer contributions 269,752
Rollover contributions 51,774
Total contributions 813,116
Deductions
Benefits paid to participants (847,535 )
Plan expenses (2,699 )
Total deductions (850,234 )
Net decrease (1,075,419 )
Net assets available for benefits
Beginning of year 12,743,390
End of year $ 11,667,971
The accompanying Notes to the Financial Statements are an integral part of these statements.

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CIGNA 401(k) PLAN NOTES TO THE FINANCIAL STATEMENTS

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Note 1 – Description of the Plan

The following description of the Cigna 401(k) Plan (the “Plan”) provides general information only. A more complete explanation of the features and benefits available under the Plan, a defined contribution plan, is contained in the Plan’s Summary Plan Description and Prospectus. The Plan Sponsor’s name was changed from Cigna Corporation to The Cigna Group on February 13, 2023. Generally, all U.S.-based employees of participating subsidiaries and affiliates of The Cigna Group (“Cigna” or “Plan Sponsor”) are eligible to participate in the Plan. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended ("ERISA"). As of December 31, 2022 and 2021 and for the year ended December 31, 2022, Prudential Bank & Trust, FSB, was the Trustee for the Plan.

Plan Administration

The Cigna Retirement Plan Committee, which is comprised of three members of Cigna's management, is the primary Plan fiduciary. This committee delegates responsibility for administration of the Plan to the Plan Administrator, a Cigna employee, and responsibility for the Plan’s financial management to Cigna's Chief Financial Officer ("CFO"). The Plan Administrator and CFO have arranged with Empower Annuity Insurance Company ("EAIC") to perform the primary administrative, recordkeeping and asset management functions on behalf of the Plan. The Plan’s previous administrative services provider and record keeper, Prudential Retirement Insurance and Annuity Company, was acquired by Empower on April 1, 2022 and renamed EAIC. The Retirement Plan Committee is responsible for, among other things, selecting and monitoring the Plan’s investments.

Investments

The Plan’s investment options include a fixed income fund, which is supported by both traditional and synthetic fully benefit-responsive investment contracts (see Note 5); Cigna common stock; and pooled separate accounts that invest in equities, bonds, derivatives or funds. Participants may transfer assets among the investment options, subject to certain restrictions. For example, transfers involving assets invested in Cigna common stock may be subject to restrictions imposed under Cigna’s Policy on Securities Transactions and Insider Trading. See Notes 4 and 5 for additional information regarding the Plan’s investment options.

The Plan uses an age-appropriate Moderate target portfolio under Empower Retirement’s GoalMaker ® asset allocation program ("GoalMaker") as its default investment option. GoalMaker meets the requirements to be a Qualified Default Investment Alternative ("QDIA") under federal law. Participants are invested in the QDIA if they have not made their own investment allocation election or may be invested due to a plan merger if they do not elect how their old plan account should be invested after the plan merger occurs.

Employee Contributions

The Plan permits employees to make pre-tax and Roth contributions (regular and catch-up). A Roth 401(k) is an employer-sponsored investment savings account that is funded with after-tax contributions up to the Plan's limit and future withdrawals are tax-free. In addition to pre-tax and Roth 401(k) contributions, effective January 1, 2022, the Plan also permits after-tax contributions up to a maximum of $10,000 per year. The contribution rate maximum is 80% of a participant’s eligible pay. This is a total limit that applies to all employee contributions.

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CIGNA 401(k) PLAN NOTES TO THE FINANCIAL STATEMENTS

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The Plan uses an automatic contribution rate increase program called Contribution Accelerator. If an eligible participant’s pre-tax contribution rate is at least 1% but less than 9%, the contribution rate is automatically increased by 1% at the beginning of each year until it reaches 10%. Eligible participants can opt out of Contribution Accelerator or change the date when the increase would go into effect each year. Effective January 1, 2022, the maximum automatic contribution rate under the Contribution Accelerator program was increased from 10% to 11%.

All employees, however, are still subject to the annual dollar limit set by the Internal Revenue Service ("IRS"). Employee contributions may be invested in any combination of investment options offered by the Plan subject to certain other Internal Revenue Code ("IRC") limitations and any restrictions imposed under Cigna’s Policy on Securities Transactions and Insider Trading.

Employer Contributions

All employees are eligible for employer-matching contributions as soon as they join the Plan. The maximum effective regular matching contribution is 5% of a participant's first 6% of eligible pay. The match formula is equal to 100% on the first 4% of eligible pay contributed (a 4% of pay match) plus 50% on the next 2% of pay contributed (a 1% pay match). The company match rate applies to pre-tax, Roth contributions, after-tax contributions and catch-up contributions – to the extent those contributions are part of an employee’s first 6% of pay contributed. New employees are automatically enrolled in the Plan after 30 days from date of hire and are eligible to receive the maximum regular matching contribution. These new employees can opt out of auto enrollment as well as the Contribution Accelerator. Regular matching contributions are made at the same time employee contributions are made, typically bi-weekly, but no less frequently than monthly.

The Plan also provides a “true-up” matching contribution after the close of each Plan year. The true-up match is an added employer contribution, if necessary to make the year’s total matching contributions equal to what they would have been on a “look-back” if all employee match eligible contributions were made as of the end of the year and matching contributions were based on the participant’s total annual eligible earnings as of the end of the year. The true-up match provides otherwise missed regular matching contributions for eligible participants caused by changes in an employee’s contribution rates during the year.

All types of matching contributions (regular and true-up) are collectively referred to as "employer contributions."

In addition to providing regular matching contributions and true-up contributions, the Plan also provides for discretionary matching contributions. The Plan Sponsor did not make a discretionary matching contribution to the Plan for 2022 and 2021.

Service Contract Act Contributions

Certain former participants of the Express Scripts, Inc. 401(k) Plan are eligible for additional contributions (“SCA Contributions”) to comply with the Service Contract Act (“SCA”) of 1965. SCA Contributions are determined by multiplying the contractually required hourly rate by the hours worked by such participant during the period from which such contribution is made (but not in excess of the hours required by the SCA to be credited for such purposes). This amount is then reduced by the cost of fringe benefits otherwise credited to such participant outside of the Plan for such period. For the 2022 plan year, the total SCA contributions were $2.9 million. This amount is included in the employer contributions receivable as of December 31, 2022.

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Rollover Contributions

The Plan may accept rollover contributions. Rollover contributions represent distributions received from other “eligible retirement plans,” as defined in IRC section 401(a)(31)(E). Distributions from other plans are subject to certain conditions to be eligible for rollover into the Plan.

Participant Accounts

Each participant’s account is credited with the participant’s contribution, the employer contribution and investment earnings, net of expenses. A participant is entitled to their vested account balance.

Vesting

Employee and non-elective SCA employer contributions and related investment earnings are always fully vested.

Employer contributions and related investment earnings become fully vested upon completion of two years of service. Employer contributions made at any time and related investment earnings become fully vested earlier when an employee reaches age 65; dies; becomes totally and permanently disabled; or continues to be employed by a participating Cigna company that is sold and does not maintain a successor plan. Early vesting also would occur if Cigna discontinues matching contributions or terminates the Plan.

Participants earn a year of vesting service if they have at least 1,000 hours of service during the calendar year.

Forfeitures

During the year ended December 31, 2022, employer contributions were reduced by approximately $3.8 million. No forfeiture amounts were used to offset Plan expenses.

Notes Receivable

The notes receivable amount represents the unpaid principal balance on unpaid loans. The Plan permits participants to borrow a portion of their vested Plan account, subject to certain limitations, including restriction of post-2009 Cigna employer contributions, at an annual rate of interest with a specified repayment period. The minimum amount that may be borrowed is $1,000; the maximum total loan amount is the lesser of $50,000 or 50% of the participant’s vested account balance. A participant may have no more than two outstanding loans. Loan terms range from 12 to 60 months or up to 120 months if the loan is used to buy or build a participant’s primary residence. The annual interest rate for a Plan loan is 2% plus the yield of actively traded U.S. Treasury securities, adjusted by the U.S. Treasury Department to 3-year or 7-year constant maturities. The maximum Plan loan interest rate is the bank prime loan rate that is in effect on the same date that the applicable Treasury rate is determined. Loan interest rates remain fixed during the term of the loan. The loan is secured by the participant’s vested account balance. EAIC charges the participant a $50 fee to process Plan loans and a $20 annual loan maintenance fee for new loans. At December 31, 2022, loan interest rates ranged from 2.36 % to 9.75 % and as of December 31, 2021, loan interest rates ranged from 2.36% to 10.50%.

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CIGNA 401(k) PLAN NOTES TO THE FINANCIAL STATEMENTS

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Payment of Benefits

Participants may withdraw funds subject to the requirements of the Plan. Upon termination of employment for any reason, a participant may elect to receive either a lump-sum amount equal to the value of the participant’s vested account balance, monthly installments over a period of years, an annuity, or a combination of these forms of payment. If the participant’s vested account balance is more than $1,000 but not more than $5,000 and the participant does not agree within 80 days to accept a lump sum, the amount will automatically be rolled over to an Individual Retirement Account or Individual Retirement Annuity ("IRA") sponsored by an Empower Retirement affiliate. The IRA will be invested in an investment product designed to preserve principal and provide a reasonable rate of return and liquidity. All related expenses will be charged to the IRA. If a Plan participant with a balance greater than $5,000 terminates and does not withdraw funds, the account becomes inactive. Inactive Plan participants can request withdrawals at any time. The required minimum distribution age is age 72 and as a result, terminated participants must begin taking minimum distributions in April of the year following the year they turn age 72. To the extent a participant’s account is invested in Cigna common stock, the participant may elect to receive such amounts in shares.

Additionally, the Plan allows participants to take Qualified Birth Adoption Distributions (QBADs) from the Plan. The amount of the QBAD may not exceed a participant’s vested account balance or, if less, $5,000 minus the amount of any other QBAD taken by the participant.

Plan Expenses

Administrative expenses and certain investment management fees are reported separately, and participant accounts are directly charged, on a quarterly basis, with the same administrative fee regardless of their investment options. Effective January 1, 2022, the annual administrative fee was 0.0130% of the participant’s account up to a maximum of $90.

Brokers’ commissions resulting from buying or selling Cigna common stock are paid from the participants’ account balances and are reflected as a reduction of investment income in these financial statements. Fees related to pooled separate accounts and underlying fund investments are netted against investment returns of each pooled separate account. Other costs associated with the operation of the Plan, including trustee and legal fees, are paid by Cigna.

Plan Termination

Cigna intends to continue the Plan indefinitely but reserves the right to discontinue employer contributions or terminate the Plan in whole or in part at any time prior to that. If contributions are discontinued or the Plan is terminated, affected participants will become fully vested. Upon Plan termination, net assets of the Plan will be distributed in the manner Cigna elects in accordance with the Plan document and in accordance with ERISA and its related regulations.

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Note 2 - Significant Accounting Policies

Basis of Presentation

The financial statements have been prepared on the accrual basis of accounting in conformity with accounting principles generally accepted in the United States of America ("GAAP"). Amounts recorded in the financial statements reflect management’s estimates and assumptions that affect the reported amount of assets, liabilities, and changes therein, and disclosure of contingent assets and liabilities at the date of the financial statements. Significant estimates are discussed throughout these Notes; however, actual results could differ from those estimates.

Valuation of Investments and Income Recognition

Except for the fully benefit-responsive benefit investment contracts, which are valued at contract value, plan investments are reported at fair value. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The fair value of Cigna common stock is based upon its quoted market price. Fair value of pooled separate accounts is measured by the net unit value, which is based on the fair value of the underlying assets of the account.

Purchases and sales of securities are recorded on a trade-date basis. Interest is recognized when earned. Dividends are recognized on the ex-dividend date. Net appreciation or depreciation includes realized gains and losses on investments that were both purchased and sold during the period as well as unrealized appreciation or depreciation of the investments held at year end.

Contributions

Contributions from Plan participants and the matching contributions from the employer are recorded in the year they are withheld.

Notes Receivable from Participants

Notes receivable from participants are measured at their unpaid principal balance plus any accrued but unpaid interest. Delinquent participant loans are recorded as distributions based on the terms of the Plan document.

Payment of Benefits

Benefits are recorded when paid.

Note 3 – Plan Amendments

The Plan was amended on April 21, 2022 to convert the Cigna common stock fund under the Plan from a “stock bonus plan” within the meaning of IRC section 401(a) to an "employee stock ownership plan" for purposes of IRC section 4975(e)(7) effective May 23, 2022. As a result of the change, beginning with dividends awarded in 2Q 2022, Plan participants can elect to receive their dividends from the Cigna Stock Fund in cash. The Plan default will continue to be to have dividends reinvested in Plan participant accounts unless they elect the cash option.

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Note 4 - Fair Value Measurements

Accounting Standards Codification 820, Fair Value Measurements and Disclosures, provides a framework for measuring fair value. That framework provides a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value, as follows: Level 1, which refers to securities valued using unadjusted quoted prices from active markets for identical assets; Level 2, which refers to securities not traded on an active market but for which observable market inputs are readily available; and Level 3, which refers to securities valued based on significant unobservable inputs. Assets and liabilities are classified in their entirety based on the lowest level of input that is significant to the fair value measurement.

Financial Assets Carried at Fair Value

The following table provides information as of December 31, 2022 and 2021 about the Plan’s financial assets carried at fair value on a recurring basis.

2022 Quoted Prices in Active Markets for Identical Assets Significant Other Observable Inputs
(In thousands) (Level 1) (Level 2) Total
Assets at fair value:
Common stock $ 1,188,490 $ — $ 1,188,490
Pooled separate accounts:
Fixed maturities 217,027 217,027
Equity securities 6,412,620 6,412,620
Total assets at fair value $ 1,188,490 $ 6,629,647 $ 7,818,137
2021 Quoted Prices in Active Markets for Identical Assets Significant Other Observable Inputs
(In thousands) (Level 1) (Level 2) Total
Assets at fair value:
Common stock $ 860,658 $ — $ 860,658
Pooled separate accounts:
Fixed maturities 266,548 266,548
Equity securities 7,756,707 7,756,707
Total assets at fair value $ 860,658 $ 8,023,255 $ 8,883,913

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CIGNA 401(k) PLAN NOTES TO THE FINANCIAL STATEMENTS

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Note 5 – Financial Assets Carried at Contract Value

The Plan’s Fixed Income Fund is supported by four separate fully benefit-responsive investment contracts, including a traditional investment contract and three synthetic investment contracts. The Fixed Income Fund functions as a “fund of funds”, and blends the crediting rates of the individual investment contracts to create a single melded crediting rate for the Fixed Income Fund. The melded rate approximates the rates of the supporting investment contracts and is utilized for Plan accounting purposes only. While EAIC does not guarantee, support or otherwise back the melded book value, participants may ordinarily direct the withdrawal or transfer of all or a portion of their investment at their melded book value.

The Plan transacts with each of the four separate contract issuers at contract value. These contracts meet the fully benefit-responsive investment contract criteria and therefore are reported at their contract value in the statements of net assets available for benefits. Contract value is the relevant measure for fully benefit-responsive investment contracts because this is the amount received by the Plan if participants were to initiate permitted transactions. Contract value represents contributions made under each contract, plus earnings, less withdrawals, and administrative expenses.

The following represents the disaggregation of contract value between types of investment contracts held by the Plan.

(In thousands) As of December 31, — 2022 2021
Financial assets at contract value:
Traditional investment contract $ 679,254 $ 683,109
Synthetic investment contracts 3,005,830 3,014,755
Total assets at contract value $ 3,685,084 $ 3,697,864

The key difference between a synthetic investment contract and a traditional investment contract is that the Plan owns the underlying assets of the synthetic investment contract. A synthetic investment contract includes a wrapper contract, which is an agreement for the wrap issuer insurance company to make payments to the Plan in certain circumstances. The wrapper contract typically includes certain conditions and limitations on the underlying assets owned by the Plan. With traditional investment contracts, the Plan owns only the contract itself and there are no reserves against contract value for the credit risk of the contract issuer.

Synthetic and traditional investment contracts are designed to accrue interest based on crediting rates established by the contract issuers. The synthetic investment contracts held by the Plan include three wrapper contracts with the Prudential Insurance Company of America ("PICA"), Voya Retirement Insurance and Annuity Company ("VRIAC"), and Massachusetts Mutual Life Insurance Company ("MassMutual"), each of which provide a guarantee that their crediting rate will not fall below 0 percent. Assets supporting these contracts are comprised of diversified fixed income securities. Cash flow volatility (for example, timing of benefit payments) as well as asset underperformance can be passed through to the Plan through adjustments to future contract crediting rates. Crediting rates are reviewed not less than annually for resetting, and any adjustments can then be passed through to participants, which would generally be performed through updating of the crediting rate for the Fixed Income Fund in order to bring the melded book value of the participants in line with the Plan’s cumulative contract value on the four underlying fully benefit-responsive investment contracts.

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The traditional investment contract held by the Plan is a guaranteed investment contract with EAIC. The contract issuer is contractually obligated to repay the principal and interest at a specified interest rate that is guaranteed to the Plan. The crediting rate is based on a formula established by the contract issuer but may not be less than 0 percent and is reviewed not less than annually for resetting.

The Plan’s ability to receive amounts due in accordance with fully benefit-responsive investment contracts is dependent on the third-party issuer’s ability to meet its financial obligations. The issuer’s ability to meet its contractual obligations may be affected by future economic and regulatory developments.

Certain events might limit the ability of the Plan to transact at contract value with the contract issuer. These events may be different under each contract. Examples of such events include the following:

  1. The Plan’s failure to qualify under Section 401(a) of the Internal Revenue Code or the failure of the trust to be tax-exempt under Section 501(a) of the Internal Revenue Code;

  2. Premature termination of the contracts;

  3. Plan termination or merger;

  4. Changes to the Plan’s prohibition on competing investment options;

  5. Bankruptcy of the plan sponsor or other plan sponsor events (for example, divestitures or spinoffs of a subsidiary) that significantly affect the Plan’s normal operations;

  6. Bankruptcy of EAIC, the contract issuer to the traditional investment contract.

Note that if these certain events were to occur, the Plan may not be able to transact at contract value with the contract issuers and may elect to reflect any difference between market value and contract value by adjusting participants’ melded book value in the Fixed Income Fund. It is possible that under such events participants’ melded book value may decrease, however, the Plan Sponsor does not believe it is probable that such events will occur.

Note 6 - Tax Status

The Plan's design and current operations are consistent with all IRS requirements for tax exemption. This was confirmed by the IRS through the issuance to Cigna of a favorable determination letter dated August 24, 2021. The Plan has been amended since receiving the determination letter; however, the plan administrator believes that the Plan is currently designed and being operated in compliance with the applicable requirements of the Internal Revenue Code. The Plan may be subject to IRS audit but there is no such audit currently in progress, nor has there been one in the recent past. However, the federal tax years that remain open and subject to an audit based on IRS general procedures are 2017 to 2021. Tax years 2017 and 2018 are under examination.

Accounting principles generally accepted in the United States of America require the Plan’s management to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the Plan has taken an uncertain position that more likely than not would not be sustained upon examination by the Internal Revenue Service. As of December 31, 2022 and 2021, there were no uncertain positions taken that had an effect on the Plan financial statements or that required disclosure.

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Note 7 - Related Party Transactions and Party in Interest Transactions

The Plan invests in Cigna common stock. During the year ended December 31, 2022, the Plan purchased shares of Cigna common stock for $55,730,375 (207,900 shares) and sold shares of Cigna common stock for $100,289,696 (369,019 shares). The Cigna Stock Fund experienced net appreciation of $372,391,514 for the year ended December 31, 2022.

The Plan also invests in pooled separate accounts and fully benefit-responsive investment contracts, which are administered by EAIC, the Plan’s third party administrator and record-keeper. Activity reported by EAIC for these investments qualify as party in interest transactions. Fees incurred by the Plan for administrative services are included in Plan expenses and totaled $2.7 million in 2022. These have been paid directly to EAIC.

Note 8 – Risks and Uncertainties

The Plan invests in various investment securities. Investment securities are exposed to various risks such as interest rate, market and credit risks, including credit risk on fully benefit-responsive investment contracts. Credit risk exists for these contracts because there are no reserves by the insurance company against the contract value disclosed, other than the underlying assets of the synthetic investment contracts, which the Plan owns. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is at least reasonably possible that changes in values of investment securities will occur in the near term and that such changes could materially affect participants’ account balances and the amounts reported in the statements of net assets available for benefits. Market risks include global events which could impact the value of investment securities, such as a pandemic or international conflict.

Note 9 – Reconciliation of Financial Statements to Form 5500

The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500 as of December 31, 2022 and 2021.

(In thousands) As of December 31, — 2022 2021
Net Assets available for benefits per the Statements of Net Assets Available for Benefits $ 11,667,971 $ 12,743,390
Difference between contract value and fair value on fully benefit-responsive contracts (a) (301,259 ) 100,501
Net Assets available for benefits per the Form 5500 $ 11,366,712 $ 12,843,891

(a) Fully benefit-responsive contracts are required to be carried at contract value in the Statements of Net Assets Available for Benefits.

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Note 10 – Subsequent Events

Effective January 1, 2023, a Roth in-plan conversion feature that allows participants to convert after-tax contributions to Roth 401(k) contributions was added, and the after-tax contribution limit increased from $10,000 to $20,000.

Effective January 1, 2023, the maximum automatic contribution rate under the Contribution Accelerator program was increased from 11% to 12% and it will increase by an additional 1% annually thereafter until the maximum automatic deferral rate reaches 15%.

The Plan Sponsor’s name was changed from Cigna Corporation to The Cigna Group on February 13, 2023.

Under the SECURE 2.0 Act of 2022, the required minimum distribution age was further increased to age 73 and, as a result, terminated participants must begin taking minimum distributions in April of the year following the year they turn age 73. The SECURE 2.0 provision applies to participants who reach age 72 after December 31, 2022.

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SUPPLEMENTAL SCHEDULE

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CIGNA 401(k) PLAN
FORM 5500 SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS
(HELD AT END OF YEAR)
As of December 31, 2022
(In thousands)
Identity of issue, borrower, lessor or similar party Description of investment including maturity date, rate of interest, collateral, par or maturity value Current Value
*Cigna CIGNA COMMON STOCK Common Stock $ 1,188,490
*PRIAC DRYDEN S&P 500 INDEX Pooled Separate Account $ 2,329,833
*PRIAC LARGE CAP BLEND FUND Pooled Separate Account $ 564,376
*PRIAC MID CAP BLEND FUND Pooled Separate Account $ 390,404
*PRIAC SMALL CAP BLEND FUND Pooled Separate Account $ 355,419
*PRIAC INTERNATIONAL STOCK FUND Pooled Separate Account $ 153,902
*PRIAC BLACKROCK EQUITY MARKET INDEX FUND Separate Account $ 1,082,889
*PRIAC ALL WORLD EX-US STOCK INDEX FUND Separate Account $ 1,333,613
*PRIAC US TOTAL STOCK MARKET INDEX FUND Separate Account $ 202,184
*PRIAC PRUDENTIAL INVESTMENT MANAGEMENT, INC. HIGH YIELD BOND FUND Pooled Separate Account $ 217,027
INVESTMENTS, AT FAIR VALUE $ 7,818,137
*PRIAC GUARANTEED LONG TERM FUND (CONTRACT INTEREST RATE: 3.20%) General Account Contract $ 679,253
VRIAC CIGNA STABLE VALUE FUND (CONTRACT INTEREST RATE: 1/1-6/30 2.97%, 7/1-12/31 2.49%) Synthetic Contract $ 1,402,088
*PICA PRUDENTIAL STABLE VALUE FUND (CONTRACT INTEREST RATE: 2.91%): Synthetic Contract
COMMERCIAL MORTGAGE SEPARATE ACCOUNT Separate Account $ 136,719
PRIVEST SEPARATE ACCOUNT Separate Account $ 92,032

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CIGNA 401(k) PLAN

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AVIS BUDGET RENTAL CAR FDG Asset Backed 3.70% DUE 09/20/2024 $
AVIS BUDGET RENTAL CAR FDG Asset Backed 3.35% DUE 09/22/2025 $ 773
AVIS BUDGET RENTAL CAR FDG Asset Backed 2.33% DUE 08/20/2026 $ 648
AVIS BUDGET RENTAL CAR FDG Asset Backed 1.66% DUE 02/20/2028 $ 1,386
COMMONBOND STUDENT LOAN T Asset Backed 3.21% DUE 02/25/2044 $ 98
FORD CREDIT AUTO OWNER TRUST Asset Backed 0.83% DUE 08/15/2028 $ 1,632
HERTZ VEHICLE FINANCING LLC Asset Backed 1.21% DUE 12/26/2025 $ 1,202
HERTZ VEHICLE FINANCING LLC Asset Backed 2.33% DUE 06/26/2028 $ 1,931
DRB PRIME STUDENT LOAN TRUST Asset Backed 2.81% DUE 11/25/2042 $ 17
LAUREL ROAD PRIME STUDENT LOA Asset Backed 3.54% DUE 05/26/2043 $ 43
NAVIENT STUDENT LOAN TRUST Asset Backed 3.19% DUE 02/18/2042 $ 48
NAVIENT STUDENT LOAN TRUST Asset Backed 3.13% DUE 02/15/2068 $ 227
ONEMAIN DIRECT AUTO RECEIVABLE Asset Backed 3.63% DUE 09/14/2027 $ 1,440
ONEMAIN DIRECT AUTO RECEIVABLE Asset Backed 3.63% DUE 09/14/2027 $ 2,881
ONEMAIN FINANCIAL ISSUANCE TR Asset Backed 1.75% DUE 09/14/2035 $ 262
ONEMAIN FINANCIAL ISSUANCE TRU Asset Backed 4.57% DUE 06/16/2036 $ 96
ONEMAIN FINANCIAL ISSUANCE TRU Asset Backed 4.57% DUE 06/16/2036 $ 1,147
ONEMAIN FINANCIAL ISSUANCE TRU Asset Backed 4.57% DUE 06/16/2036 $ 96
SOCIAL PROFESSIONAL LOAN PROG Asset Backed 3.60% DUE 02/25/2048 $ 304
SOCIAL PROFESSIONAL LOAN PROGR Asset Backed 2.84% DUE 01/25/2041 $ 183
SOCIAL PROFESSIONAL LOAN PROGR Asset Backed 2.37% DUE 11/16/2048 $ 332
SOCIAL PROFESSIONAL LOAN PROGR Asset Backed 2.54% DUE 05/15/2046 $ 563
TOWD POINT MORTGAGE TRUST Asset Backed 5.40% DUE 10/25/2059 $ 101
BABSON CLO LTD CLO 5.09% DUE 10/15/2033 $ 4,899
BENEFIT STREET PARTNERS CLO LT CLO 5.24% DUE 07/20/2029 $ 2,050
CARLYLE GLOBAL MARKET STRATEGY CLO 5.41% DUE 07/27/2031 $ 1,409
CARLYLE GLOBAL MARKET STRATEGI CLO 5.32% DUE 04/20/2031 $ 1,663
ELLINGTON CLO LTD CLO 5.66% DUE 04/15/2029 $ 122
GREYWOLF CLO LTD CLO 5.42% DUE 10/20/2031 $ 984
ICG US CLO LTD CLO 5.45% DUE 01/16/2033 $ 4,410
JAMESTOWN CLO LTD CLO 5.71% DUE 04/20/2032 $ 3,949
MADISON PARK FUNDING LTD CLO 5.22% DUE 10/21/2030 $ 878
MADISON PARK FUNDING LTD CLO 5.48% DUE 04/25/2032 $ 566
NEUBERGER BERMAN CLO LTD CLO 5.35% DUE 04/22/2029 $ 1,958
NORTHWOODS CAPITAL LTD CLO 5.85% DUE 09/01/2031 $ 2,212
OCP CLO LTD CLO 5.11% DUE 01/15/2033 $ 4,164
PALMER SQUARE CLO LTD CLO 5.81% DUE 05/21/2034 $ 2,755
ROCKFORD TOWER CLO LTD CLO 4.33% DUE 07/20/2033 $ 1,244
VOYA CLO LTD CLO 5.29% DUE 01/20/2031 $ 4,826
WELLFLEET CLO LTD CLO 5.44% DUE 10/20/2031 $ 3,647
WELLFLEET CLO LTD CLO 5.44% DUE 10/20/2031 $ 243

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CIGNA 401(k) PLAN

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BBCCRE TRUST CMO 3.97% DUE 08/10/2033 $
BARCLAYS COMMERCIAL MORTGAGE CMO 2.94% DUE 08/14/2036 $ 784
BARCLAYS COMMERCIAL MORTGAGE CMO 2.02% DUE 02/15/2054 $ 2,013
BANK 2020 BN26 A3 CMO 3.29% DUE 07/15/2060 $ 120
BANK 2020 BN26 A3 CMO 2.39% DUE 01/15/2063 $ 4,467
BANK 2020 BN26 A3 CMO 2.15% DUE 03/15/2063 $ 2,230
BANK 2020 BN26 A3 CMO 2.59% DUE 11/15/2064 $ 1,400
BANK 2017 BNK7 A3 CMO 3.09% DUE 09/15/2060 $ 1,025
BANK 2017 BNK7 A3 CMO 3.09% DUE 09/15/2060 $ 470
BENCHMARK MORTGAGE TRUST CMO 2.67% DUE 12/15/2072 $ 1,819
BENCHMARK MORTGAGE TRUST CMO 3.75% DUE 04/10/2051 $ 1,306
BENCHMARK MORTGAGE TRUST CMO 2.48% DUE 12/15/2057 $ 4,511
BENCHMARK MORTGAGE TRUST CMO 2.04% DUE 03/15/2053 $ 740
BENCHMARK MORTGAGE TRUST CMO 1.68% DUE 01/15/2054 $ 3,786
BENCHMARK MORTGAGE TRUST CMO 2.01% DUE 03/15/2054 $ 1,802
CD COMMERCIAL MORTGAGE TRUST CMO 3.49% DUE 08/15/2051 $ 1,182
CD COMMERCIAL MORTGAGE TRUST CMO 2.46% DUE 08/10/2049 $ 953
CFK TRUST CMO 2.39% DUE 03/15/2039 $ 4,742
CANTOR COMMERCIAL REAL ESTATE CMO 3.66% DUE 05/15/2052 $ 398
CFCRE COMMERCIAL MORTGAGE TRUS CMO 3.59% DUE 12/10/2054 $ 506
COMM MORTGAGE TRUST CMO 4.05% DUE 10/10/2046 $ 245
COMM MORTGAGE TRUST CMO 4.05% DUE 10/10/2046 $ 442
COMM MORTGAGE TRUST CMO 3.69% DUE 03/10/2047 $ 610
COMMERCIAL MORTGAGE TRUST CMO 3.33% DUE 11/10/2047 $ 2,130
COMMERICAL MORTGAGE TRUST CMO 3.43% DUE 08/10/2048 $ 1,514
COMMERICAL MORTGAGE TRUST CMO 2.83% DUE 10/10/2049 $ 1,006
CSAIL COMMERCIAL MORTGAGE CMO 2.72% DUE 12/15/2052 $ 1,709
COMM MORTGAGE TRUST CMO 3.35% DUE 02/10/2048 $ 1,143
COMM MORTGAGE TRUST CMO 3.35% DUE 02/10/2048 $ 2,642
CSMC 18 RPL9 CMO 3.85% DUE 09/25/2057 $ 483
COMM MORTGAGE TRUST CMO 2.69% DUE 08/15/2057 $ 1,939
CITIGROUP COMMERCIAL MORTGAGE CMO 2.58% DUE 08/10/2049 $ 1,089
CITIGROUP COMMERCIAL MORTGAGE CMO 2.58% DUE 08/10/2049 $ 1,089
CITIGROUP COMMERCIAL MORTGAGE CMO 3.46% DUE 12/10/2049 $ 499
CGCMT CMO 3.11% DUE 09/15/2050 $ 1,014
CITIGROUP COMMERCIAL MORTGAGE CMO 3.96% DUE 03/10/2051 $ 1,153
CITIGROUP COMMERCIAL MORTGAG CMO 2.48% DUE 01/15/2053 $ 1,004
CBSLT 17 BGS CMO 2.68% DUE 09/25/2042 $ 114
DEUTSCHE BANK COMMERCIAL MTG CMO 1.64% DUE 09/15/2053 $ 4,059
DEUTSCHE BANK COMMERCIAL MTG CMO 2.63% DUE 08/10/2049 $ 1,689
CITIGROUP COMMERCIAL MORTGAGE CMO 3.52% DUE 09/10/2058 $ 1,331
CITIGROUP COMMERCIAL MORTGAGE CMO 2.65% DUE 07/10/2049 $ 247

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FNMA CMO 2.96% DUE 02/25/2027 $
FNMA CMO 3.36% DUE 07/25/2028 $ 34
FNMA CMO 2.14% DUE 09/25/2029 $ 351
FREDDIE MAC SCRT CMO 3.50% DUE 08/25/2058 $ 740
GSMS CMO 3.73% DUE 11/10/2048 $ 2,850
GS MORTGAGE SECURITIES TRUST CMO 2.79% DUE 05/10/2049 $ 513
GS MORTGAGE SECURITIES TRUST CMO 3.52% DUE 06/10/2047 $ 439
GS MORTGAGE SECURITIES TRUST CMO 3.20% DUE 08/10/2050 $ 877
GS MORTGAGE SECURITIES TRUST CMO 2.64% DUE 02/13/2053 $ 2,939
GS MORTGAGE SECURITIES TRUST CMO 1.56% DUE 12/12/2053 $ 2,724
JP MORGAN CHASE COMMERCIAL MTG CMO 2.63% DUE 08/15/2049 $ 1,172
JPMBB COMMERCIAL MORTGAGE SEC CMO 3.23% DUE 01/15/2048 $ 1,257
JPMBB COMMERCIAL MORTGAGE SEC CMO 3.55% DUE 07/15/2048 $ 749
LADDER CAPITAL COMMERCIAL MTG CMO 3.36% DUE 07/12/2050 $ 3,761
MILL CITY MORTGAGE TRUST CMO 2.75% DUE 01/25/2061 $ 92
MORGAN STANLEY BAML TRUST CMO 3.46% DUE 12/15/2049 $ 531
MORGAN STANLEY BAML TRUST CMO 3.08% DUE 03/15/2048 $ 531
MORGAN STANLEY BAML TRUST CMO 3.08% DUE 03/15/2048 $ 382
MORGAN STANLEY CAPITAL I TRUST CMO 2.53% DUE 08/15/2049 $ 527
MORGAN STANLEY CAPITAL I TRUST CMO 2.45% DUE 02/15/2030 $ 2,499
NEW RESIDENTIAL MORTGAGE LOAN CMO 5.04% DUE 01/25/2048 $ 183
ONE NEW YORK PLAZA TRUST 202 CMO 5.27% DUE 01/15/2026 $ 1,415
TOWD POINT MORTGAGE TRUST CMO 4.72% DUE 02/25/2057 $ 110
TOWD POINT MORTGAGE TRUST CMO 3.00% DUE 01/28/2058 $ 161
UBS COMMERCIAL MORTGAGE TRUST CMO 3.90% DUE 02/15/2051 $ 1,154
WELLS FARGO COMMERCIAL MORTGAG CMO 3.19% DUE 02/15/2048 $ 1,213
WELLS FARGO COMMERCIAL MTG CMO 2.67% DUE 07/15/2048 $ 1,152
WELLS FARGO COMMERCIAL MORTGAG CMO 2.40% DUE 08/15/2049 $ 1,075
WELLS FARGO COMMERCIAL MORTGAG CMO 2.40% DUE 08/15/2049 $ 112
WELLS FARGO COMMERCIAL MORTGAG CMO 2.68% DUE 10/15/2049 $ 970
WELLS FARGO COMMERCIAL MTG CMO 2.81% DUE 11/15/2059 $ 479
WELLS FARGO COMMERCIAL MTG CMO 3.39% DUE 11/15/2050 $ 1,128
WELLS FARGO COMMERCIAL MORTGAG CMO 3.89% DUE 08/15/2051 $ 1,563
WELLS FARGO COMMERCIAL MTG CMO 2.46% DUE 02/15/2053 $ 4,757
COMM 2014 UBS2 CMO-CMBS 3.96% DUE 03/10/2047 $ 919
COMM 2014 UBS2 CMO-CMBS 3.96% DUE 03/10/2047 $ 1,358
AEP TEXAS INC Corporate debt 3.95% DUE 06/01/2028 $ 540
AEP TRANSMISSION CO LLC Corporate debt 3.10% DUE 12/01/2026 $ 52
AMN HEALTHCARE INC Corporate debt 4.00% DUE 04/15/2029 $ 1,124
AT&T INC Corporate debt 4.50% DUE 05/15/2035 $ 55
AT&T INC Corporate debt 4.35% DUE 03/01/2029 $ 2,146
AT&T INC Corporate debt 4.35% DUE 03/01/2029 $ 43

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AT&T INC Corporate debt 2.30% DUE 06/01/2027 $
AT&T INC Corporate debt 2.55% DUE 12/01/2033 $ 52
ABBVIE INC Corporate debt 3.20% DUE 11/21/2029 $ 281
ABBVIE INC Corporate debt 3.20% DUE 11/21/2029 $ 561
ABBVIE INC Corporate debt 3.20% DUE 11/21/2029 $ 1,831
ABU DHABI NATIONAL ENERGY Corporate debt 2.00% DUE 04/29/2028 $ 204
AKER BP ASA Corporate debt 3.00% DUE 01/15/2025 $ 427
AKER BP ASA Corporate debt 3.00% DUE 01/15/2025 $ 569
AKER BP ASA Corporate debt 3.00% DUE 01/15/2025 $ 474
ALEXANDRIA REAL ESTATE E Corporate debt 2.00% DUE 05/18/2032 $ 481
ALIMENTATION COUCHE TARD Corporate debt 3.55% DUE 07/26/2027 $ 434
ALTRIA GROUP INC Corporate debt 2.45% DUE 02/04/2032 $ 727
AMEREN ILLINOIS Corporate debt 3.80% DUE 05/15/2028 $ 601
AMERICAN INTERNATIONAL GROUP Corporate debt 3.90% DUE 04/01/2026 $ 255
ANTERO MIDSTREAM PARTNERS Corporate debt 7.88% DUE 05/15/2026 $ 1,015
ARCH CAPITAL FINANCE LLC Corporate debt 4.01% DUE 12/15/2026 $ 48
ARCH CAPITAL FINANCE LLC Corporate debt 4.01% DUE 12/15/2026 $ 957
ASHTEAD CAPITAL INC Corporate debt 1.50% DUE 08/12/2026 $ 554
ATLANTIC CITY ELECTRIC Corporate debt 2.30% DUE 03/15/2031 $ 424
AVANGRID INC Corporate debt 3.20% DUE 04/15/2025 $ 804
BPCE SA Corporate debt 2.38% DUE 01/14/2025 $ 1,584
BALL CORP Corporate debt 3.12% DUE 09/15/2031 $ 602
BANCO SANTANDER SA Corporate debt 1.85% DUE 03/25/2026 $ 178
BANK OF AMERICA CORP Corporate debt 4.00% DUE 01/22/2025 $ 353
BANK OF AMERICA CORP Corporate debt 4.45% DUE 03/03/2026 $ 539
BANK OF AMERICA CORP Corporate debt 4.45% DUE 03/03/2026 $ 613
BANK OF AMERICA CORP Corporate debt 4.45% DUE 03/03/2026 $ 1,716
BANK OF AMERICA CORP Corporate debt 3.82% DUE 01/20/2028 $ 842
BANK OF AMERICA CORP Corporate debt 3.82% DUE 01/20/2028 $ 1,122
BANK OF AMERICA CORP Corporate debt 3.59% DUE 07/21/2028 $ 65
BANK OF AMERICA CORP Corporate debt 3.19% DUE 07/23/2030 $ 552
BANK OF AMERICA CORP Corporate debt 1.32% DUE 06/19/2026 $ 257
BANK OF AMERICA CORP Corporate debt 1.66% DUE 03/11/2027 $ 548
BANK OF AMERICA CORP Corporate debt 2.09% DUE 06/14/2029 $ 2,639
BANK OF MONTREAL Corporate debt 0.62% DUE 07/09/2024 $ 164
BANK OF MONTREAL Corporate debt 0.62% DUE 07/09/2024 $ 140
BANK OF NY MELLON CORP Corporate debt 2.95% DUE 01/29/2023 $ 205
BARCLAYS PLC Corporate debt 3.65% DUE 03/16/2025 $ 408
BARCLAYS PLC Corporate debt 3.65% DUE 03/16/2025 $ 274
BARCLAYS PLC Corporate debt 3.93% DUE 05/07/2025 $ 320
BAYER US FINANCE II LLC Corporate debt 4.20% DUE 07/15/2034 $ 671
BERRY GLOBAL INC Corporate debt 1.57% DUE 01/15/2026 $ 984

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BERRY GLOBAL INC Corporate debt 1.57% DUE 01/15/2026 $
BERRY GLOBAL INC Corporate debt 1.57% DUE 01/15/2026 $ 921
BNP PARIBAS Corporate debt 3.05% DUE 01/13/2031 $ 867
BNP PARIBAS Corporate debt 3.05% DUE 01/13/2031 $ 908
BNP PARIBAS Corporate debt 2.22% DUE 06/09/2026 $ 184
BNP PARIBAS Corporate debt 1.32% DUE 01/13/2027 $ 363
BOEING CO Corporate debt 3.20% DUE 03/01/2029 $ 370
BOEING CO Corporate debt 5.15% DUE 05/01/2030 $ 646
BOEING CO Corporate debt 3.62% DUE 02/01/2031 $ 658
BOEING CO Corporate debt 2.20% DUE 02/04/2026 $ 909
BORGWARNER INC Corporate debt 5.00% DUE 10/01/2025 $ 1,278
BRINKS CO THE Corporate debt 5.50% DUE 07/15/2025 $ 923
BRISTOL MYERS SQUIBB CO Corporate debt 3.40% DUE 07/26/2029 $ 232
BRIXMOR OPERATING PARTNERSHIP Corporate debt 3.65% DUE 06/15/2024 $ 1,166
BRIXMOR OPERATING PARTNERSHIP Corporate debt 4.05% DUE 07/01/2030 $ 247
BRIXMOR OPERATING PARTNERSHIP Corporate debt 2.50% DUE 08/16/2031 $ 169
BROADSTONE NET LEASE LLC Corporate debt 2.60% DUE 09/15/2031 $ 997
BROADSTONE NET LEASE LLC Corporate debt 2.60% DUE 09/15/2031 $ 346
BROADSTONE NET LEASE LLC Corporate debt 2.60% DUE 09/15/2031 $ 173
BROADSTONE NET LEASE LLC Corporate debt 2.60% DUE 09/15/2031 $ 346
BROADCOM INC Corporate debt 3.42% DUE 04/15/2033 $ 900
BROADCOM INC Corporate debt 3.14% DUE 11/15/2035 $ 874
BROADCOM INC Corporate debt 3.14% DUE 11/15/2035 $ 98
BROADCOM INC Corporate debt 4.93% DUE 05/15/2037 $ 401
CBOE GLOBAL MARKETS INC Corporate debt 1.62% DUE 12/15/2030 $ 1,045
CSC HOLDINGS LLC Corporate debt 6.50% DUE 02/01/2029 $ 903
CVS CAREMARK CORP Corporate debt 5.00% DUE 12/01/2024 $ 744
CVS HEALTH CORP Corporate debt 4.30% DUE 03/25/2028 $ 528
CVS HEALTH CORP Corporate debt 4.30% DUE 03/25/2028 $ 335
CALPINE CORP Corporate debt 5.25% DUE 06/01/2026 $ 286
CALPINE CORP Corporate debt 3.75% DUE 03/01/2031 $ 404
CARE CAPITAL PROPERTIES LP Corporate debt 5.12% DUE 08/15/2026 $ 1,667
CARLISLE COS INC Corporate debt 2.20% DUE 03/01/2032 $ 1,799
CELULOSA ARAUCO Corporate debt 4.50% DUE 08/01/2024 $ 202
CENOVUS ENERGY INC Corporate debt 2.65% DUE 01/15/2032 $ 112
CENTERPOINT ENERGY HOUSTON Corporate debt 2.40% DUE 09/01/2026 $ 156
CHARTER COMM OPT LLC CAP Corporate debt 4.91% DUE 07/23/2025 $ 490
CHARTER COMM OPT LLC CAP Corporate debt 4.91% DUE 07/23/2025 $ 167
CHARTER COMM OPT LLC CAP Corporate debt 4.91% DUE 07/23/2025 $ 392
CHARTER COMM OPT LLC CAP Corporate debt 4.91% DUE 07/23/2025 $ 441
CHARTER COMM OPT LLC CAP Corporate debt 4.20% DUE 03/15/2028 $ 1,240
CHARTER COMM OPT LLC CAP Corporate debt 2.80% DUE 04/01/2031 $ 1,035

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CHARTER COMM OPT LLC CAP Corporate debt 2.30% DUE 02/01/2032 $
CHARTER COMM OPT LLC CAP Corporate debt 2.30% DUE 02/01/2032 $ 154
CITIGROUP INC Corporate debt 4.40% DUE 06/10/2025 $ 324
CITIGROUP INC Corporate debt 4.45% DUE 09/29/2027 $ 335
CITIGROUP INC Corporate debt 4.45% DUE 09/29/2027 $ 645
CITIGROUP INC Corporate debt 4.45% DUE 09/29/2027 $ 1,673
CITIGROUP INC Corporate debt 2.56% DUE 05/01/2032 $ 467
CITIGROUP INC Corporate debt 1.46% DUE 06/09/2027 $ 2,607
COLORADO INTERSTATE GAS CO LLC Corporate debt 4.15% DUE 08/15/2026 $ 163
COMMONWEALTH EDISON CO Corporate debt 2.95% DUE 08/15/2027 $ 362
COMMONWEALTH EDISON CO Corporate debt 3.70% DUE 08/15/2028 $ 641
CONSTELLATION BRANDS INC Corporate debt 2.25% DUE 08/01/2031 $ 339
CORPORATE OFFICE PROP LP Corporate debt 2.75% DUE 04/15/2031 $ 658
COX COMMUNICATIONS INC Corporate debt 2.60% DUE 06/15/2031 $ 757
CROWN CASTLE INTL CORP Corporate debt 1.35% DUE 07/15/2025 $ 1,042
DCP MIDSTREAM OPERATING Corporate debt 5.38% DUE 07/15/2025 $ 268
DANSKE BANK A S Corporate debt 1.23% DUE 06/22/2024 $ 2,606
DEUTSCHE BANK NY Corporate debt 2.13% DUE 11/24/2026 $ 185
DEVON ENERGY CORP Corporate debt 5.88% DUE 06/15/2028 $ 1,409
DIAMONDBACK ENERGY INC Corporate debt 3.25% DUE 12/01/2026 $ 466
DIAMONDBACK ENERGY INC Corporate debt 3.25% DUE 12/01/2026 $ 946
DIGITAL REALTY TRUST LP Corporate debt 3.60% DUE 07/01/2029 $ 560
DISCOVER BANK Corporate debt 3.45% DUE 07/27/2026 $ 300
DISCOVERY COMMUNICATIONS Corporate debt 4.90% DUE 03/11/2026 $ 1,456
DOMINION ENERGY INC Corporate debt 2.85% DUE 08/15/2026 $ 42
DOMINION ENERGY INC Corporate debt 3.60% DUE 03/15/2027 $ 2,742
DUKE ENERGY CORP Corporate debt 2.65% DUE 09/01/2026 $ 125
DUKE ENERGY CORP Corporate debt 3.15% DUE 08/15/2027 $ 957
DUKE ENERGY PROGRESS INC Corporate debt 3.70% DUE 09/01/2028 $ 434
DUKE ENERGY FLORIDA LLC Corporate debt 3.80% DUE 07/15/2028 $ 523
DUKE ENERGY FLORIDA LLC Corporate debt 3.80% DUE 07/15/2028 $ 951
ERAC USA FINANCE COMPANY Corporate debt 3.30% DUE 12/01/2026 $ 488
ERAC USA FINANCE COMPANY Corporate debt 3.30% DUE 12/01/2026 $ 232
ERAC USA FINANCE COMPANY Corporate debt 3.30% DUE 12/01/2026 $ 302
EMERA US FINANCE LP Corporate debt 3.55% DUE 06/15/2026 $ 468
EMERA US FINANCE LP Corporate debt 3.55% DUE 06/15/2026 $ 1,045
ENERGY TRANSFER PARTNERS Corporate debt 4.05% DUE 03/15/2025 $ 761
ENERGY TRANSFER PARTNERS Corporate debt 4.75% DUE 01/15/2026 $ 977
ENEL FINANCE INTL NV Corporate debt 3.50% DUE 04/06/2028 $ 255
ENEL FINANCE INTL NV Corporate debt 1.88% DUE 07/12/2028 $ 310
ENEL FINANCE INTL NV Corporate debt 2.25% DUE 07/12/2031 $ 906
ENERGY TRANSFER PARTNERS Corporate debt 4.95% DUE 06/15/2028 $ 150

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ENERGY TRANSFER PARTNERS Corporate debt 4.95% DUE 06/15/2028 $
ENERGY TRANSFER OPERATNG Corporate debt 2.90% DUE 05/15/2025 $ 910
ENTERGY CORP Corporate debt 2.95% DUE 09/01/2026 $ 401
EQUIFAX INC Corporate debt 2.35% DUE 09/15/2031 $ 2,085
ESSENTIAL UTLITIES INC Corporate debt 2.70% DUE 04/15/2030 $ 584
FMC CORP Corporate debt 3.45% DUE 10/01/2029 $ 574
FMC CORP Corporate debt 3.45% DUE 10/01/2029 $ 1,458
FLORIDA GAS TRANSMISSION Corporate debt 2.55% DUE 07/01/2030 $ 389
FLORIDA GAS TRANSMISSION Corporate debt 2.30% DUE 10/01/2031 $ 373
FORD MOTOR CREDIT CO LLC Corporate debt 4.27% DUE 01/09/2027 $ 544
FORTIS INC Corporate debt 3.06% DUE 10/04/2026 $ 375
GAP INC THE Corporate debt 3.88% DUE 10/01/2031 $ 603
GAP INC THE Corporate debt 3.88% DUE 10/01/2031 $ 353
GENERAL MOTORS CO Corporate debt 6.80% DUE 10/01/2027 $ 291
GENERAL MOTORS FINL CO Corporate debt 4.35% DUE 01/17/2027 $ 981
GENERAL MOTORS FINL CO Corporate debt 4.35% DUE 01/17/2027 $ 1,525
GENERAL MOTORS FINL CO Corporate debt 3.85% DUE 01/05/2028 $ 284
GENERAL MOTORS FINL CO Corporate debt 2.70% DUE 08/20/2027 $ 324
GENERAL MOTORS FINL CO Corporate debt 2.35% DUE 01/08/2031 $ 1,198
GENPACT LUXEMBOURG SARL Corporate debt 3.38% DUE 12/01/2024 $ 2,106
GOLDMAN SACHS GROUP INC Corporate debt 3.85% DUE 01/26/2027 $ 10
GOLDMAN SACHS GROUP INC Corporate debt 3.85% DUE 01/26/2027 $ 24
GOLDMAN SACHS GROUP INC Corporate debt 3.81% DUE 04/23/2029 $ 606
GOLDMAN SACHS GROUP INC Corporate debt 2.60% DUE 02/07/2030 $ 242
GOLDMAN SACHS GROUP INC Corporate debt 3.80% DUE 03/15/2030 $ 653
GOLDMAN SACHS GROUP INC Corporate debt 3.50% DUE 04/01/2025 $ 1,397
GOLDMAN SACHS GROUP INC Corporate debt 1.43% DUE 03/09/2027 $ 574
GOLDMAN SACHS GROUP INC Corporate debt 3.75% DUE 02/25/2026 $ 603
GULFSTREAM NATURAL GAS Corporate debt 6.19% DUE 11/01/2025 $ 2,779
HSBC HOLDINGS PLC Corporate debt 4.58% DUE 06/19/2029 $ 184
HEALTHPEAK PROPERTIES Corporate debt 2.88% DUE 01/15/2031 $ 314
HELMERICH & PAYNE INC Corporate debt 2.90% DUE 09/29/2031 $ 382
HILCORP ENERGY I HILCORP Corporate debt 5.75% DUE 02/01/2029 $ 625
HUNTINGTON NATIONAL BANK Corporate debt 3.55% DUE 10/06/2023 $ 312
HUNTSMAN INTERNATIONAL LLC Corporate debt 4.50% DUE 05/01/2029 $ 1,893
IPALCO ENTERPRISES INC Corporate debt 4.25% DUE 05/01/2030 $ 111
JPMORGAN CHASE & CO Corporate debt 3.51% DUE 01/23/2029 $ 455
JPMORGAN CHASE & CO Corporate debt 3.51% DUE 01/23/2029 $ 1,819
JPMORGAN CHASE & CO Corporate debt 3.51% DUE 01/23/2029 $ 2,273
JPMORGAN CHASE & CO Corporate debt 1.04% DUE 02/04/2027 $ 837
JPMORGAN CHASE & CO Corporate debt 2.95% DUE 02/24/2028 $ 1,524
JPMORGAN CHASE & CO Corporate debt 4.32% DUE 04/26/2028 $ 1,232

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JDE PEET S NV Corporate debt 1.38% DUE 01/15/2027 $
JEFFERIES FINANCE LLC Corporate debt 5.00% DUE 08/15/2028 $ 510
JEFFERIES GROUP LLC Corporate debt 2.62% DUE 10/15/2031 $ 50
KB HOME Corporate debt 4.00% DUE 06/15/2031 $ 222
KENTUCKY UTILITIES CO Corporate debt 3.30% DUE 10/01/2025 $ 955
KIMCO REALTY CORP Corporate debt 2.25% DUE 12/01/2031 $ 296
KIMCO REALTY CORP Corporate debt 2.25% DUE 12/01/2031 $ 212
KIMCO REALTY CORP Corporate debt 2.25% DUE 12/01/2031 $ 108
KIMCO REALTY CORP Corporate debt 2.25% DUE 12/01/2031 $ 912
KONTOOR BRANDS INC Corporate debt 4.12% DUE 11/15/2029 $ 503
KONTOOR BRANDS INC Corporate debt 4.12% DUE 11/15/2029 $ 261
KRAFT HEINZ FOODS CO Corporate debt 3.75% DUE 04/01/2030 $ 626
LYB INTERNATIONAL FINANCE BV Corporate debt 4.00% DUE 07/15/2023 $ 422
LAMB WESTON HLD Corporate debt 4.12% DUE 01/31/2030 $ 553
LAMB WESTON HLD Corporate debt 4.12% DUE 01/31/2030 $ 288
LINCOLN NATIONAL CORP Corporate debt 3.80% DUE 03/01/2028 $ 576
LLOYDS BANKING GROUP PLC Corporate debt 2.44% DUE 02/05/2026 $ 576
LLOYDS BANKING GROUP PLC Corporate debt 2.44% DUE 02/05/2026 $ 744
LUNDIN ENERGY FI Corporate debt 2.00% DUE 07/15/2026 $ 522
LUNDIN ENERGY FI Corporate debt 2.00% DUE 07/15/2026 $ 885
LUNDIN ENERGY FI Corporate debt 3.10% DUE 07/15/2031 $ 275
LUNDIN ENERGY FI Corporate debt 3.10% DUE 07/15/2031 $ 738
MPLX LP Corporate debt 4.12% DUE 03/01/2027 $ 52
MPLX LP Corporate debt 4.00% DUE 03/15/2028 $ 271
MPLX LP Corporate debt 4.00% DUE 03/15/2028 $ 121
MPLX LP Corporate debt 2.65% DUE 08/15/2030 $ 151
MPLX LP Corporate debt 1.75% DUE 03/01/2026 $ 849
MPT OPERATING PARTNERSHIP LP Corporate debt 5.00% DUE 10/15/2027 $ 252
MAGNA INTERNATIONAL INC Corporate debt 4.15% DUE 10/01/2025 $ 244
MARATHON PETROLEUM CORP Corporate debt 3.80% DUE 04/01/2028 $ 769
MARTIN MARIETTA MATERIALS INC Corporate debt 2.40% DUE 07/15/2031 $ 674
MATTAMY GROUP CORP Corporate debt 4.62% DUE 03/01/2030 $ 490
MID-ATLANTIC INTERSTATE Corporate debt 4.10% DUE 05/15/2028 $ 236
MITSUBISHI UFJ FINANCIAL GROUP Corporate debt 2.31% DUE 07/20/2032 $ 1,052
MIZUHO FINANCIAL GROUP Corporate debt 3.92% DUE 09/11/2024 $ 1,623
MIZUHO FINANCIAL GROUP Corporate debt 1.55% DUE 07/09/2027 $ 1,381
MORGAN STANLEY Corporate debt 4.35% DUE 09/08/2026 $ 487
MORGAN STANLEY Corporate debt 4.35% DUE 09/08/2026 $ 243
MORGAN STANLEY Corporate debt 3.77% DUE 01/24/2029 $ 60
MORGAN STANLEY Corporate debt 3.62% DUE 01/20/2027 $ 553
MORGAN STANLEY Corporate debt 3.62% DUE 01/20/2027 $ 828
MORGAN STANLEY Corporate debt 3.62% DUE 01/20/2027 $ 2,365

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MORGAN STANLEY Corporate debt 3.95% DUE 04/23/2027 $
MOTOROLA SOLUTIONS INC Corporate debt 4.00% DUE 09/01/2024 $ 121
MYLAN NV Corporate debt 3.95% DUE 06/15/2026 $ 304
MYLAN NV Corporate debt 3.95% DUE 06/15/2026 $ 444
MYLAN NV Corporate debt 3.95% DUE 06/15/2026 $ 749
MYLAN NV Corporate debt 3.95% DUE 06/15/2026 $ 1,305
NRG ENERGY INC Corporate debt 2.00% DUE 12/02/2025 $ 401
NRG ENERGY INC Corporate debt 2.00% DUE 12/02/2025 $ 18
NRG ENERGY INC Corporate debt 2.00% DUE 12/02/2025 $ 80
NRG ENERGY INC Corporate debt 2.00% DUE 12/02/2025 $ 54
NRG ENERGY INC Corporate debt 2.00% DUE 12/02/2025 $ 80
NRG ENERGY INC Corporate debt 2.00% DUE 12/02/2025 $ 27
NRG ENERGY INC Corporate debt 2.00% DUE 12/02/2025 $ 268
NRG ENERGY INC Corporate debt 3.62% DUE 02/15/2031 $ 612
NOMURA HOLDINGS INC Corporate debt 2.65% DUE 01/16/2025 $ 945
NOMURA HOLDINGS INC Corporate debt 2.61% DUE 07/14/2031 $ 541
NOMURA HOLDINGS INC Corporate debt 2.61% DUE 07/14/2031 $ 189
NOMURA HOLDINGS INC Corporate debt 2.71% DUE 01/22/2029 $ 1,019
BOC AVIATION USA CORP Corporate debt 1.62% DUE 04/29/2024 $ 256
OHIOHEALTH CORP Corporate debt 2.30% DUE 11/15/2031 $ 1,415
ONCOR ELECTRIC DELIVERY Corporate debt 3.70% DUE 11/15/2028 $ 897
ONEOK INC Corporate debt 4.00% DUE 07/13/2027 $ 61
ONEOK INC Corporate debt 4.00% DUE 07/13/2027 $ 377
ONEOK INC Corporate debt 3.10% DUE 03/15/2030 $ 1,262
ONEOK PARTNERS Corporate debt 4.90% DUE 03/15/2025 $ 1,234
ORACLE CORP Corporate debt 2.65% DUE 07/15/2026 $ 598
OWENS CORNING Corporate debt 3.40% DUE 08/15/2026 $ 328
PNC BANK NA Corporate debt 4.05% DUE 07/26/2028 $ 737
PNC BANK NA Corporate debt 4.05% DUE 07/26/2028 $ 945
PACIFICORP Corporate debt 2.70% DUE 09/15/2030 $ 181
PETROLEOS MEXICANOS Corporate debt 6.50% DUE 03/13/2027 $ 274
PETROLEOS MEXICANOS Corporate debt 6.50% DUE 03/13/2027 $ 274
PETROLEOS MEXICANOS Corporate debt 6.50% DUE 03/13/2027 $ 183
PETROLEOS MEXICANOS Corporate debt 6.49% DUE 01/23/2027 $ 57
PHARMACIA CORP Corporate debt 6.60% DUE 12/01/2028 $ 1,377
PHILIP MORRIS INTL INC Corporate debt 5.00% DUE 11/15/2025 $ 206
PIEDMONT HEALTHCARE INC Corporate debt 2.04% DUE 01/01/2032 $ 880
PILGRIM'S PRIDE CORP Corporate debt 4.25% DUE 04/15/2031 $ 851
PIONEER NATURAL RESOURCE Corporate debt 1.12% DUE 01/15/2026 $ 616
PLAINS ALL AMERICAN PIPELINE Corporate debt 4.50% DUE 12/15/2026 $ 1,530
PLAINS ALL AMERICAN PIPELINE Corporate debt 4.50% DUE 12/15/2026 $ 1,058
PROVIDENCE HEALTH & SVCS Corporate debt 2.75% DUE 10/01/2026 $ 201

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PUBLIC SERVICE ELECTRIC & GAS Corporate debt 2.25% DUE 09/15/2026 $
QATAR PETROLEUM Corporate debt 1.38% DUE 09/12/2026 $ 389
QATAR PETROLEUM Corporate debt 1.38% DUE 09/12/2026 $ 201
QATAR PETROLEUM Corporate debt 1.38% DUE 09/12/2026 $ 297
QUEST DIAGNOSTIC INC Corporate debt 2.95% DUE 06/30/2030 $ 767
REALTY INCOME CORP Corporate debt 3.25% DUE 01/15/2031 $ 608
REALTY INCOME CORP Corporate debt 3.40% DUE 01/15/2028 $ 682
REALTY INCOME CORP Corporate debt 2.20% DUE 06/15/2028 $ 1,288
ROPER TECHNOLOGIES INC Corporate debt 4.20% DUE 09/15/2028 $ 802
NATWEST GROUP PLC Corporate debt 4.52% DUE 06/25/2024 $ 198
SACI FALABELLA Corporate debt 4.38% DUE 01/27/2025 $ 388
SACI FALABELLA Corporate debt 4.38% DUE 01/27/2025 $ 194
SP POWERASSETS LTD Corporate debt 3.00% DUE 09/26/2027 $ 303
SEALED AIR CORP Corporate debt 1.57% DUE 10/15/2026 $ 540
SHIRE ACQ INV IRELAND DA Corporate debt 2.88% DUE 09/23/2023 $ 501
SOCIETE GENERALE Corporate debt 2.62% DUE 01/22/2025 $ 2,276
SOUTHWEST AIRLINES CO Corporate debt 5.12% DUE 06/15/2027 $ 535
SOUTHWESTERN ELECTRIC POWER Corporate debt 4.10% DUE 09/15/2028 $ 856
SPECTRA ENERGY PARTNERS Corporate debt 3.38% DUE 10/15/2026 $ 89
SPIRIT REALTY LP Corporate debt 2.10% DUE 03/15/2028 $ 777
SPIRIT REALTY LP Corporate debt 2.10% DUE 03/15/2028 $ 777
SPRINGLEAF FINANCE CORP Corporate debt 7.12% DUE 03/15/2026 $ 1,426
SPRINT CORP Corporate debt 7.62% DUE 03/01/2026 $ 526
STELLANTIS FIN US INC Corporate debt 2.69% DUE 09/15/2031 $ 574
SUN COMMUNITIES OPER LTD Corporate debt 2.70% DUE 07/15/2031 $ 789
SUN COMMUNITIES OPER LTD Corporate debt 2.30% DUE 11/01/2028 $ 1,163
SYMANTEC CORP Corporate debt 5.00% DUE 04/15/2025 $ 1,706
T MOBILE USA INC Corporate debt 3.75% DUE 04/15/2027 $ 1,623
T MOBILE USA INC Corporate debt 3.88% DUE 04/15/2030 $ 850
TRI POINTE GROUP INC Corporate debt 5.70% DUE 06/15/2028 $ 547
TALLGRASS NRG PRTNR FINANCE Corporate debt 5.50% DUE 01/15/2028 $ 267
TAYLOR MORRISON CMNTYS INC Corporate debt 5.12% DUE 08/01/2030 $ 522
TECK RESOURCES LIMITED Corporate debt 3.90% DUE 07/15/2030 $ 1,359
TEMPO ACQUISITION LLC FI Corporate debt 5.75% DUE 06/01/2025 $ 1,004
TEXAS EASTERN TRANSMISSION LP Corporate debt 3.50% DUE 01/15/2028 $ 178
TRIMBLE INCORPORATED Corporate debt 4.15% DUE 06/15/2023 $ 635
TYCO ELECTRONICS Corporate debt 3.12% DUE 08/15/2027 $ 342
UBS AG LONDON Corporate debt 1.25% DUE 06/01/2026 $ 1,274
UNICREDIT SPA Corporate debt 1.98% DUE 06/03/2027 $ 2,104
UNITED RENTALS NORTH AM Corporate debt 3.88% DUE 02/15/2031 $ 421
UNIVERSAL HEALTH SVCS Corporate debt 2.65% DUE 01/15/2032 $ 1,111
VENTAS REALTY LP Corporate debt 4.40% DUE 01/15/2029 $ 809

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VERIZON COMMUNICATIONS Corporate debt 2.55% DUE 03/21/2031 $
VIATRIS INC Corporate debt 2.70% DUE 06/22/2030 $ 1,062
VICI PROPERTIES LP Corporate debt 4.38% DUE 05/15/2025 $ 682
VISTRA OPERATIONS CO LLC Corporate debt 3.55% DUE 07/15/2024 $ 168
VISTRA OPERATIONS CO LLC Corporate debt 3.55% DUE 07/15/2024 $ 168
VISTRA OPERATIONS CO LLC Corporate debt 3.70% DUE 01/30/2027 $ 657
VISTRA OPERATIONS CO LLC Corporate debt 3.70% DUE 01/30/2027 $ 684
WASTE CONNECTIONS INC Corporate debt 2.60% DUE 02/01/2030 $ 1,067
WELLS FARGO & COMPANY Corporate debt 2.16% DUE 02/11/2026 $ 2,530
WELLS FARGO & COMPANY Corporate debt 2.39% DUE 06/02/2028 $ 2,209
WELLTOWER INC Corporate debt 3.10% DUE 01/15/2030 $ 1,016
WELLTOWER INC Corporate debt 2.70% DUE 02/15/2027 $ 325
WABTEC Corporate debt 4.95% DUE 09/15/2028 $ 288
WABTEC Corporate debt 4.95% DUE 09/15/2028 $ 1,657
WRKCO INC Corporate debt 3.75% DUE 03/15/2025 $ 552
YAMANA GOLD INC Corporate debt 2.63% DUE 08/15/2031 $ 751
YAMANA GOLD INC Corporate debt 2.63% DUE 08/15/2031 $ 808
YUM BRANDS INC Corporate debt 5.38% DUE 04/01/2032 $ 23
FNMA Fed Agency 2.50% DUE 04/01/2044 $ (2,542 )
FNMA Fed Agency 3.00% DUE 01/15/2043 $ 2,634
FNMA Fed Agency 3.50% DUE 01/15/2041 $ 454
FNMA Fed Agency 3.50% DUE 01/15/2041 $ 454
FNMA Fed Agency 3.50% DUE 01/15/2041 $ 454
FNMA Fed Agency 4.50% DUE 01/01/2040 $ 482
FNMA Fed Agency 5.00% DUE 01/01/2040 $ (1,972 )
FNMA Fed Agency 5.50% DUE 01/01/2040 $ (501 )
GNMA II Fed Agency 2.50% DUE 08/20/2046 $ 2,596
GNMA Fed Agency 5.00% DUE 01/20/2040 $ 1,981
EMIRATE ABU DHABI GOVT INTL Foreign debt 3.12% DUE 10/11/2027 $ 744
HARVEST OPERATIONS CORP Foreign debt 4.20% DUE 06/01/2023 $ 199
HYDRO QUEBEC Foreign debt 9.38% DUE 04/15/2030 $ 1,167
INDONESIA REPUBLIC OF Foreign debt 3.50% DUE 01/11/2028 $ 190
5 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ (2 )
5 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ 3
5 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ 7
5 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ 2
2 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ (2 )
2 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ (1 )
2 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ (1 )
2 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ 2
2 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ 12
2 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $ 5

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2 YR US TR NOTES Futures 0.00% DUE 04/05/2023 $
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (4 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (1 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (8 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (12 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (5 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (3 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (15 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (14 )
10 YR US TR NOTES Futures 0.00% DUE 03/31/2023 $ (36 )
20 YR US TR BONDS Futures 0.00% DUE 03/31/2023 $ (9 )
20 YR US TR BONDS Futures 0.00% DUE 03/31/2023 $ (12 )
20 YR US TR BONDS Futures 0.00% DUE 03/31/2023 $ (93 )
20 YR US TR BONDS Futures 0.00% DUE 03/31/2023 $ 2
US ULTRA T-BOND Futures 0.00% DUE 03/31/2023 $ 1
US ULTRA T-BOND Futures 0.00% DUE 03/31/2023 $ (1 )
US ULTRA T-BOND Futures 0.00% DUE 03/31/2023 $ (1 )
US 10YR ULTRA FUT JUN16 Futures 0.00% DUE 03/31/2023 $ 3
US 10YR ULTRA FUT JUN16 Futures 0.00% DUE 03/31/2023 $ 9
US 10YR ULTRA FUT JUN16 Futures 0.00% DUE 03/31/2023 $ 7
GNMA Mortgage Backed 5.50% DUE 12/01/2035 $ 502
FHLMC GOLD Mortgage Backed 4.50% DUE 06/01/2039 $ 57
FHLMC GOLD Mortgage Backed 3.50% DUE 08/01/2043 $ 816
FHLMC GOLD Mortgage Backed 4.50% DUE 09/01/2044 $ 84
FHLMC GOLD Mortgage Backed 2.00% DUE 01/01/2032 $ 133
FHLMC GOLD Mortgage Backed 4.00% DUE 04/01/2048 $ 69
FHLMC GOLD Mortgage Backed 4.00% DUE 10/01/2045 $ 274
FHLMC GOLD Mortgage Backed 4.00% DUE 08/01/2046 $ 225
FHLMC GOLD Mortgage Backed 4.50% DUE 12/01/2046 $ 213
FHLMC GOLD Mortgage Backed 2.50% DUE 01/01/2029 $ 252
FHLMC Mortgage Backed 3.00% DUE 01/01/2037 $ 186
FHLMC Mortgage Backed 3.00% DUE 12/01/2037 $ 55
FHLMC GOLD Mortgage Backed 3.00% DUE 02/01/2043 $ 526
FHLMC GOLD Mortgage Backed 3.50% DUE 02/01/2042 $ 346
FHLMC GOLD Mortgage Backed 3.00% DUE 12/01/2042 $ 395
FHLMC GOLD Mortgage Backed 4.00% DUE 12/01/2040 $ 177
FHLMC GOLD Mortgage Backed 2.50% DUE 07/01/2031 $ 76
FHLMC Mortgage Backed 3.00% DUE 01/01/2052 $ 419
FHLMC Mortgage Backed 2.00% DUE 01/01/2052 $ 7,852
FHLMC Mortgage Backed 3.00% DUE 01/01/2052 $ 1,246
FHLMC Mortgage Backed 2.50% DUE 08/01/2051 $ 826
FHLMC Mortgage Backed 2.50% DUE 06/01/2051 $ 414

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FHLMC Mortgage Backed 2.00% DUE 10/01/2051 $
FHLMC Mortgage Backed 2.50% DUE 12/01/2051 $ 1,218
FHLMC Mortgage Backed 3.00% DUE 04/01/2052 $ 848
FHLMC Mortgage Backed 3.00% DUE 04/01/2052 $ 848
FHLMC Mortgage Backed 3.00% DUE 04/01/2052 $ 848
FHLMC Mortgage Backed 3.00% DUE 04/01/2052 $ 848
FHLMC Mortgage Backed 3.00% DUE 04/01/2052 $ 848
FHLMC Mortgage Backed 3.00% DUE 04/01/2052 $ 848
FHLMC Mortgage Backed 3.50% DUE 08/01/2052 $ 453
FHLMC Mortgage Backed 4.00% DUE 09/01/2052 $ 2,765
FHLMC GOLD Mortgage Backed 4.00% DUE 04/01/2042 $ 96
FHLMC GOLD Mortgage Backed 3.50% DUE 10/01/2042 $ 190
FHLMC GOLD Mortgage Backed 3.00% DUE 06/01/2043 $ 126
FHLMC Mortgage Backed 3.00% DUE 09/01/2030 $ 231
FHLMC Mortgage Backed 3.50% DUE 11/01/2047 $ 379
FHLMC Mortgage Backed 5.00% DUE 02/01/2048 $ 127
FHLMC Mortgage Backed 2.00% DUE 01/01/2051 $ 1,296
FHLMC Mortgage Backed 2.50% DUE 10/01/2051 $ 1,855
FHLMC Mortgage Backed 2.50% DUE 10/01/2051 $ 3,978
FHLMC Mortgage Backed 3.00% DUE 03/01/2052 $ 864
FHLMC Mortgage Backed 3.00% DUE 09/01/2050 $ 2,606
FNMA Mortgage Backed 4.50% DUE 02/01/2041 $ 321
FNMA Mortgage Backed 3.50% DUE 01/01/2041 $ 235
FNMA Mortgage Backed 4.50% DUE 02/01/2041 $ 62
FNMA Mortgage Backed 3.00% DUE 08/01/2042 $ 321
FNMA Mortgage Backed 4.50% DUE 10/01/2041 $ 181
FNMA Mortgage Backed 4.00% DUE 01/01/2042 $ 355
FNMA Mortgage Backed 3.50% DUE 12/01/2041 $ 240
FNMA Mortgage Backed 4.50% DUE 08/01/2041 $ 132
FNMA Mortgage Backed 4.00% DUE 07/01/2042 $ 248
FNMA Mortgage Backed 4.00% DUE 07/01/2042 $ 74
FNMA Mortgage Backed 3.00% DUE 12/01/2042 $ 211
FNMA Mortgage Backed 4.50% DUE 02/01/2046 $ 196
FNMA Mortgage Backed 6.00% DUE 07/01/2041 $ 218
FNMA Mortgage Backed 3.00% DUE 03/01/2043 $ 495
FNMA Mortgage Backed 3.00% DUE 03/01/2043 $ 211
FNMA Mortgage Backed 3.00% DUE 04/01/2030 $ 80
FNMA Mortgage Backed 3.50% DUE 06/01/2045 $ 609
FNMA Mortgage Backed 4.00% DUE 12/01/2045 $ 84
FNMA Mortgage Backed 2.50% DUE 09/01/2046 $ 149
FNMA Mortgage Backed 2.50% DUE 09/01/2046 $ 74
FNMA Mortgage Backed 3.00% DUE 11/01/2036 $ 100

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FNMA Mortgage Backed 3.50% DUE 12/01/2046 $
FNMA Mortgage Backed 3.50% DUE 12/01/2046 $ 112
FNMA Mortgage Backed 3.00% DUE 04/01/2043 $ 157
FNMA Mortgage Backed 3.50% DUE 06/01/2043 $ 317
FNMA Mortgage Backed 4.50% DUE 09/01/2043 $ 125
FNMA Mortgage Backed 3.50% DUE 10/01/2045 $ 232
FNMA Mortgage Backed 6.00% DUE 10/01/2036 $ 49
FNMA Mortgage Backed 5.50% DUE 01/01/2037 $ 55
FNMA Mortgage Backed 3.00% DUE 12/01/2031 $ 128
FNMA Mortgage Backed 2.50% DUE 12/01/2050 $ 262
FNMA Mortgage Backed 2.50% DUE 12/01/2051 $ 3
FNMA Mortgage Backed 3.50% DUE 08/01/2052 $ 454
FNMA Mortgage Backed 3.50% DUE 06/01/2052 $ 49
FNMA Mortgage Backed 5.00% DUE 07/01/2052 $ 2,076
FNMA Mortgage Backed 5.50% DUE 11/01/2052 $ 502
FNMA Mortgage Backed 5.00% DUE 09/01/2047 $ 93
FNMA Mortgage Backed 2.50% DUE 02/01/2052 $ 821
FNMA Mortgage Backed 2.50% DUE 02/01/2051 $ 4,269
FNMA Mortgage Backed 2.50% DUE 06/01/2051 $ 3
FNMA Mortgage Backed 2.50% DUE 08/01/2051 $ 2,495
FNMA Mortgage Backed 3.00% DUE 04/01/2052 $ 864
FNMA Mortgage Backed 2.50% DUE 04/01/2052 $ 10
FNMA Mortgage Backed 2.50% DUE 04/01/2052 $ 10
FNMA Mortgage Backed 2.50% DUE 05/01/2052 $ 8,162
FNMA Mortgage Backed 3.00% DUE 07/01/2027 $ 147
FNMA Mortgage Backed 4.50% DUE 08/01/2040 $ 107
FNMA Mortgage Backed 3.50% DUE 01/01/2041 $ 583
FNMA Mortgage Backed 3.50% DUE 05/01/2042 $ 504
FNMA Mortgage Backed 3.50% DUE 03/01/2043 $ 237
FNMA Mortgage Backed 4.50% DUE 10/01/2039 $ 107
FNMA Mortgage Backed 4.50% DUE 11/01/2040 $ 68
FNMA Mortgage Backed 3.50% DUE 01/01/2046 $ 98
FNMA Mortgage Backed 3.50% DUE 01/01/2046 $ 96
FNMA Mortgage Backed 3.50% DUE 08/01/2031 $ 140
FNMA Mortgage Backed 4.00% DUE 09/01/2046 $ 98
FNMA Mortgage Backed 4.50% DUE 08/01/2047 $ 194
FNMA Mortgage Backed 4.00% DUE 08/01/2047 $ 89
FNMA Mortgage Backed 3.50% DUE 08/01/2033 $ 68
FNMA Mortgage Backed 2.50% DUE 08/01/2051 $ 1,631
FNMA Mortgage Backed 2.00% DUE 10/01/2051 $ 24
FNMA Mortgage Backed 2.50% DUE 10/01/2051 $ 415
FNMA Mortgage Backed 2.50% DUE 12/01/2051 $ 2,062

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FNMA Mortgage Backed 2.00% DUE 09/01/2050 $
FNMA Mortgage Backed 2.50% DUE 04/01/2051 $ 756
FNMA Mortgage Backed 2.50% DUE 01/01/2052 $ 410
FNMA Mortgage Backed 3.00% DUE 07/01/2052 $ 869
FNMA Mortgage Backed 4.50% DUE 07/01/2052 $ 482
FNMA Mortgage Backed 5.00% DUE 06/01/2052 $ 975
FNMA Mortgage Backed 5.50% DUE 11/01/2052 $ 502
FNMA Mortgage Backed 3.50% DUE 11/01/2052 $ 405
FNMA Mortgage Backed 5.00% DUE 06/01/2040 $ 37
FNMA Mortgage Backed 5.00% DUE 06/01/2040 $ 44
FNMA Mortgage Backed 4.50% DUE 06/01/2040 $ 85
FNMA Mortgage Backed 5.00% DUE 06/01/2040 $ 123
FNMA Mortgage Backed 4.50% DUE 02/01/2041 $ 86
FNMA Mortgage Backed 5.00% DUE 02/01/2041 $ 58
FNMA Mortgage Backed 4.00% DUE 10/01/2040 $ 177
FNMA Mortgage Backed 4.00% DUE 11/01/2040 $ 135
GNMA Mortgage Backed 3.00% DUE 09/15/2042 $ 71
GNMA II Mortgage Backed 3.00% DUE 03/20/2043 $ 60
GNMA II Mortgage Backed 3.50% DUE 03/20/2043 $ 113
GNMA II Mortgage Backed 3.00% DUE 09/20/2042 $ 132
GNMA II Mortgage Backed 3.50% DUE 10/20/2042 $ 269
GNMA II Mortgage Backed 3.50% DUE 10/20/2042 $ 213
GNMA II Mortgage Backed 4.00% DUE 10/20/2042 $ 304
GNMA II Mortgage Backed 3.50% DUE 12/20/2042 $ 127
GNMA II Mortgage Backed 3.50% DUE 12/20/2042 $ 144
GNMA II Mortgage Backed 3.00% DUE 09/20/2043 $ 91
GNMA II Mortgage Backed 3.50% DUE 10/20/2043 $ 148
GNMA II Mortgage Backed 4.00% DUE 10/20/2043 $ 169
GNMA II Mortgage Backed 4.50% DUE 10/20/2043 $ 47
GNMA II Mortgage Backed 3.50% DUE 12/20/2043 $ 171
GNMA II Mortgage Backed 4.50% DUE 12/20/2043 $ 107
GNMA II Mortgage Backed 3.00% DUE 01/20/2044 $ 57
GNMA II Mortgage Backed 3.00% DUE 01/20/2044 $ 28
GNMA II Mortgage Backed 3.50% DUE 03/20/2045 $ 59
GNMA II Mortgage Backed 4.50% DUE 03/20/2045 $ 51
GNMA II Mortgage Backed 4.00% DUE 06/20/2044 $ 116
GNMA II Mortgage Backed 3.00% DUE 12/20/2044 $ 92
GNMA II Mortgage Backed 5.00% DUE 04/20/2045 $ 32
GNMA II Mortgage Backed 3.50% DUE 04/20/2045 $ 64
GNMA II Mortgage Backed 3.00% DUE 05/20/2045 $ 87
GNMA II Mortgage Backed 4.50% DUE 05/20/2045 $ 35
GNMA II Mortgage Backed 4.00% DUE 09/20/2045 $ 218

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GNMA II Mortgage Backed 3.50% DUE 11/20/2045 $
GNMA II Mortgage Backed 4.00% DUE 11/20/2045 $ 51
GNMA II Mortgage Backed 4.00% DUE 12/20/2045 $ 95
GNMA II Mortgage Backed 3.00% DUE 01/20/2046 $ 91
GNMA II Mortgage Backed 3.50% DUE 05/20/2046 $ 142
GNMA II Mortgage Backed 3.50% DUE 07/20/2046 $ 156
GNMA II Mortgage Backed 3.50% DUE 07/20/2046 $ 231
GNMA II Mortgage Backed 5.00% DUE 07/20/2046 $ 136
GNMA II Mortgage Backed 4.50% DUE 09/20/2046 $ 49
GNMA II Mortgage Backed 4.00% DUE 10/20/2046 $ 43
GNMA II Mortgage Backed 4.50% DUE 10/20/2046 $ 53
GNMA II Mortgage Backed 4.00% DUE 11/20/2046 $ 65
GNMA II Mortgage Backed 4.50% DUE 11/20/2046 $ 86
GNMA II Mortgage Backed 2.50% DUE 12/20/2046 $ 57
GNMA II Mortgage Backed 3.50% DUE 12/20/2046 $ 57
GNMA II Mortgage Backed 3.50% DUE 12/20/2046 $ 278
GNMA II Mortgage Backed 4.00% DUE 02/20/2047 $ 72
GNMA II Mortgage Backed 4.00% DUE 03/20/2047 $ 159
GNMA II Mortgage Backed 4.00% DUE 08/20/2048 $ 147
GNMA II Mortgage Backed 4.50% DUE 08/20/2047 $ 167
GNMA II Mortgage Backed 5.00% DUE 11/20/2047 $ 230
GNMA Mortgage Backed 2.50% DUE 04/20/2052 $ 865
GNMA Mortgage Backed 2.00% DUE 10/20/2051 $ 504
GNMA Mortgage Backed 3.00% DUE 10/20/2051 $ 3,391
GNMA Mortgage Backed 3.00% DUE 10/20/2051 $ 894
GNMA Mortgage Backed 3.00% DUE 11/20/2051 $ 408
GNMA Mortgage Backed 3.00% DUE 12/20/2051 $ 1,019
GNMA Mortgage Backed 2.50% DUE 03/20/2052 $ 870
GNMA Mortgage Backed 3.00% DUE 10/20/2052 $ 445
GNMA Mortgage Backed 4.00% DUE 10/20/2041 $ 167
GNMA Mortgage Backed 4.50% DUE 10/20/2041 $ 809
GNMA Mortgage Backed 4.50% DUE 04/15/2040 $ 53
GNMA Mortgage Backed 4.00% DUE 01/15/2041 $ 90
UNIV OF CALIFORNIA CA RGTS MED Municipals 4.13% DUE 05/15/2032 $ 630
CLEARNET Notional Par Contrac 4.30% DUE 08/15/2028 $ 586
STATE STREET STIF Sweep Investment DUE $ 224
STATE STREET STIF Sweep Investment DUE $ 175
STATE STREET STIF Sweep Investment DUE $ 483
STATE STREET STIF Sweep Investment DUE $ 951
STATE STREET STIF Sweep Investment DUE $ 410
US TREASURY N B US Govt Bonds 2.00% DUE 11/15/2041 $ 640
US TREASURY N B US Govt Bonds 2.00% DUE 11/15/2041 $ 1,438

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US TREASURY N B US Govt Bonds 2.25% DUE 11/15/2024 $
US TREASURY US Govt Bonds 0.00% DUE 11/15/2043 $ 140
OTHER ASSETS $ 1,812
SUBTOTAL $ 495,691
Total Prudential Stable Value Fund $ 724,443
Mass Mutual MASSMUTUAL (CONTRACT INTEREST RATE(1/1/22-12/31/2022 3.00%) Synthetic Contract
APOLLO AVIATION SECURITIZATION Asset Backed 6.41% DUE 01/16/2040 $ (1 )
AASET 2019 1 TRUST Asset Backed 3.84% DUE 05/15/2039 $ 142
AASET 2021-2 TRUST Asset Backed 3.54% DUE 01/15/2047 $ 479
ADAMS OUTDOOR ADVERTISING Asset Backed 4.81% DUE 11/15/2048 $ 412
BUSINESS JET SECURITIES LLC Asset Backed 2.16% DUE 04/15/2036 $ 826
CAPITAL AUTOMOTIVE REIT Asset Backed 3.25% DUE 02/15/2050 $ 197
CAPITAL AUTOMOTIVE REIT Asset Backed 3.81% DUE 02/15/2050 $ 180
CASTLELAKE AIRCRAFT SECURITIZA Asset Backed 3.97% DUE 04/15/2039 $ 359
COLLEGE AVE STUDENT LOANS Asset Backed 4.46% DUE 12/28/2048 $ 258
COMMONBOND STUDENT LOAN T Asset Backed 3.16% DUE 08/25/2050 $ 683
COMMONBOND STUDENT LOAN T Asset Backed 3.16% DUE 08/25/2050 $ 81
CREDIT SUISSE ABS REPACKAGING Asset Backed 2.50% DUE 01/25/2030 $ 15
CREDIT SUISSE ABS REPACKAGING Asset Backed 2.50% DUE 01/25/2030 $ 27
EDUCATION LOAN ASSET BACKE Asset Backed 5.68% DUE 08/01/2043 $ 49
EDUCATION LOAN ASSET BACKE Asset Backed 5.68% DUE 08/01/2043 $ 147
EDUCATION LOAN ASSET BACKE Asset Backed 5.68% DUE 08/01/2043 $ 147
EDUCATION LOAN ASSET-BACKED TR Asset Backed 5.39% DUE 11/25/2033 $ 169
EDVESTINU PRIVATE EDUCATION LO Asset Backed 1.80% DUE 11/25/2045 $ 297
FALCON AEROSPACE LTD Asset Backed 3.60% DUE 09/15/2039 $ 411
GOODGREEN TRUST Asset Backed 3.23% DUE 10/15/2052 $ 73
GOODGREEN TRUST Asset Backed 3.74% DUE 10/15/2052 $ 96
GOODGREEN TRUST Asset Backed 2.76% DUE 04/15/2055 $ 518
GOODGREEN TRUST Asset Backed 2.76% DUE 04/15/2055 $ 933
GOODGREEN TRUST Asset Backed 3.26% DUE 10/15/2053 $ 273
HERO FUNDING TRUST Asset Backed 3.19% DUE 09/20/2048 $ 118
HERO FUNDING TRUST Asset Backed 4.67% DUE 09/20/2048 $ 66
HIGHER EDUCATION FUNDING Asset Backed 4.94% DUE 01/01/2044 $ 585
HIGHER EDUCATION FUNDING Asset Backed 0.00% DUE 01/01/2044 $ 570
HORIZON AIRCRAFT FINANCE I LIM Asset Backed 3.72% DUE 07/15/2039 $ 288
HORIZON AIRCRAFT FINANCE I LIM Asset Backed 3.42% DUE 11/15/2039 $ 547
HORIZON AIRCRAFT FINANCE I LIM Asset Backed 3.42% DUE 11/15/2039 $ 199
HORIZON AIRCRAFT FINANCE I LIM Asset Backed 4.46% DUE 11/15/2039 $ 898
321 HENDERSON RECEIVABLES I LL Asset Backed 3.96% DUE 03/15/2063 $ 174
JP MORGAN STUDENT LOAN TRUST Asset Backed 4.72% DUE 06/28/2039 $ 145

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MACH I Asset Backed 3.47% DUE 10/15/2039 $
MARINER FINANCE ISSUANCE TRUST Asset Backed 1.86% DUE 03/20/2036 $ 2,133
MOSAIC SOLAR LOANS LLC Asset Backed 4.45% DUE 06/20/2042 $ 20
NAVIENT STUDENT LOAN TRUST Asset Backed 4.44% DUE 12/15/2059 $ 127
NAVIENT STUDENT LOAN TRUST 201 Asset Backed 5.89% DUE 07/25/2052 $ 363
NAVIENT STUDENT LOAN TRUST Asset Backed 6.64% DUE 06/25/2069 $ 2,447
NAVIENT STUDENT LOAN TRUST Asset Backed 6.49% DUE 08/26/2069 $ 3,219
NAVIENT STUDENT LOAN TRUST Asset Backed 5.44% DUE 08/25/2070 $ 2,954
NELNET STUDENT LOAN TRUST Asset Backed 4.71% DUE 10/25/2040 $ 137
NELNET STUDENT LOAN TRUST Asset Backed 4.92% DUE 03/23/2037 $ 170
NELNET STUDENT LOAN TRUST Asset Backed 5.59% DUE 09/27/2066 $ 468
NELNET STUDENT LOAN TRUST Asset Backed 2.53% DUE 10/25/2067 $ 567
NELNET PRIVATE EDUCATION LOAN Asset Backed 6.14% DUE 12/26/2040 $ 1
NORTHSTAR EDUCATION FINANCE Asset Backed 5.35% DUE 01/29/2046 $ 1,360
OAK STREET INVESTMENT GRADE Asset Backed 2.21% DUE 10/20/2050 $ 1,962
OAK STREET INVESTMENT GRADE Asset Backed 3.26% DUE 01/20/2051 $ 1,237
ONEMAIN DIRECT AUTO RECEIVABLE Asset Backed 3.95% DUE 11/14/2028 $ 540
ONEMAIN FINANCIAL ISSUANCE TR Asset Backed 1.75% DUE 09/14/2035 $ 1,317
ONEMAIN FINANCIAL ISSUANCE TR Asset Backed 3.14% DUE 10/14/2036 $ 2,324
ONEMAIN DIRECT AUTO RECEIVABLE Asset Backed 5.07% DUE 06/14/2029 $ 2,112
OXFORD FINANCE FUNDING TRUST Asset Backed 3.10% DUE 02/15/2028 $ 346
OXFORD FINANCE FUNDING TRUST Asset Backed 3.10% DUE 02/15/2028 $ 888
PIONEER AIRCRAFT FINANCE LIMIT Asset Backed 3.97% DUE 06/15/2044 $ 307
RENEW FINANCIAL Asset Backed 2.06% DUE 11/20/2056 $ 718
STONEPEAK Asset Backed 2.30% DUE 02/28/2033 $ 562
STONEPEAK Asset Backed 2.68% DUE 02/28/2033 $ 1,105
SLC STUDENT LOAN TRUST Asset Backed 4.85% DUE 02/15/2045 $ 77
SLM STUDENT LOAN TRUST Asset Backed 4.54% DUE 07/25/2055 $ 236
SLM STUDENT LOAN TRUST Asset Backed 4.56% DUE 01/25/2070 $ 125
SLAM 2021 1 LLC Asset Backed 2.43% DUE 06/15/2046 $ 1,016
SANTANDER REVOLVING AUTO LOAN Asset Backed 3.45% DUE 01/26/2032 $ 2,201
SLM STUDENT LOAN TRUST Asset Backed 4.57% DUE 01/25/2070 $ 409
SOCIAL PROFESSIONAL LOAN PROGR Asset Backed 3.36% DUE 02/15/2046 $ 1,354
HELIOS ISSUER LLC Asset Backed 4.87% DUE 07/20/2048 $ 141
SUTTONPARK STRUCTURED SETTLEME Asset Backed 4.19% DUE 01/15/2071 $ 187
TRIBUTE RAIL LLC Asset Backed 4.76% DUE 05/17/2052 $ 1,863
TRINITY RAIL LEASING L P Asset Backed 5.19% DUE 10/16/2040 $ 587
TRINITY RAIL LEASING L P Asset Backed 5.19% DUE 10/16/2040 $ 128
WAVE USA Asset Backed 3.60% DUE 09/15/2044 $ 653
WENDYS FUNDING LLC Asset Backed 2.37% DUE 06/15/2051 $ 567
WILLIS ENGINE SECURITIZATION T Asset Backed 4.69% DUE 08/15/2042 $ 557
WILLIS ENGINE SECURITIZATION Asset Backed 4.75% DUE 09/15/2043 $ 155

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WILLIS ENGINE SECURITIZATION T Asset Backed 3.10% DUE 05/15/2046 $
ZAXBY S FUNDING LLC Asset Backed 3.24% DUE 07/30/2051 $ 472
ZAXBY S FUNDING LLC Asset Backed 3.24% DUE 07/30/2051 $ 2,065
ARROYO MORTGAGE TRUST CMO 3.62% DUE 12/25/2056 $ 1,755
AVENTURA MALL TRUST CMO 4.11% DUE 07/05/2040 $ 645
AVENTURA MALL TRUST CMO 4.11% DUE 07/05/2040 $ 827
BARCLAYS COMMERCIAL MORTGAGE S CMO 4.27% DUE 08/05/2038 $ 170
BARCLAYS COMMERCIAL MORTGAGE S CMO 4.27% DUE 08/05/2038 $ 591
BARCLAYS COMMERCIAL MORTGAGE S CMO 4.27% DUE 08/05/2038 $ 89
BARCLAYS COMMERCIAL MORTGAGE S CMO 4.27% DUE 08/05/2038 $ 90
BANC OF AMERICA MERRILL LYNCH CMO 4.09% DUE 08/10/2038 $ 396
BX TRUST CMO 5.70% DUE 10/15/2036 $ 1,326
BX TRUST CMO 6.25% DUE 10/15/2036 $ 456
BX TRUST CMO 6.45% DUE 10/15/2036 $ 559
BX TRUST CMO 6.12% DUE 06/15/2038 $ 1,121
BX TRUST CMO 5.27% DUE 09/15/2023 $ 3,419
BANK 2018 BN14 C CMO 4.61% DUE 09/15/2060 $ 259
BANK 2018 BN14 C CMO 4.61% DUE 09/15/2060 $ 25
BANK 2021 BN36 B CMO 4.27% DUE 02/15/2052 $ 197
BANK 2019 BN16 AS CMO 2.87% DUE 09/15/2064 $ 1,650
BANK 2017 BNK7 B CMO 3.95% DUE 09/15/2060 $ 1,172
BENCHMARK MORTGAGE TRUST CMO 3.13% DUE 09/15/2048 $ 1,491
BENCHMARK MORTGAGE TRUST CMO 2.27% DUE 02/15/2054 $ 1,005
BENCHMARK MORTGAGE TRUST CMO 2.99% DUE 04/15/2054 $ 567
BRAVO RESIDENTIAL FUNDING TRU CMO 3.18% DUE 05/25/2060 $ 1,860
CD COMMERCIAL MORTGAGE TRUST CMO 3.37% DUE 08/15/2057 $ 379
CD COMMERCIAL MORTGAGE TRUST CMO 3.72% DUE 08/15/2057 $ 263
CD COMMERCIAL MORTGAGE TRUST CMO 3.72% DUE 08/15/2057 $ 178
CD COMMERCIAL MORTGAGE TRUST CMO 3.72% DUE 08/15/2057 $ 787
CD COMMERCIAL MORTGAGE TRUST CMO 4.55% DUE 02/10/2050 $ 1,255
CFCRE COMMERCIAL MORTGAGE TRUS CMO 3.22% DUE 11/10/2049 $ 367
COMMERICAL MORTGAGE TRUST CMO 4.51% DUE 09/10/2047 $ 351
COMMERICAL MORTGAGE TRUST CMO 4.07% DUE 03/10/2048 $ 455
COLEM 2021 HLNE MORTGAGE TR CMO 2.46% DUE 04/12/2042 $ 897
CITIGROUP COMMERCIAL MORTGAGE CMO 4.17% DUE 10/12/2050 $ 458
CITIGROUP COMMERCIAL MORTGAGE CMO 4.17% DUE 10/12/2050 $ 2,759
CITIGROUP COMMERCIAL MORTGAGE CMO 3.50% DUE 08/10/2056 $ 250
DEEPHAVEN RESIDENTIAL MORTGA CMO 2.09% DUE 05/25/2065 $ 1,254
FLAGSTAR MORTGAGE TRUST CMO 2.50% DUE 07/25/2051 $ 1,914
GCAT CMO 3.48% DUE 12/27/2066 $ 2,496
GS MORTGAGE SECURITIES TRUST CMO 3.99% DUE 10/10/2049 $ 558
GS MORTGAGE SECURITIES TRUST CMO 4.30% DUE 03/10/2050 $ 1,411

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GS MORTGAGE BACKED SECURITIES CMO 2.50% DUE 11/25/2051 $
JP MORGAN MORTGAGE TRUST CMO 3.45% DUE 01/25/2047 $ 39
JP MORGAN CHASE COMMERCIAL CMO 2.52% DUE 10/09/2042 $ 1,198
JP MORGAN CHASE COMMERCIAL CMO 3.45% DUE 01/05/2039 $ 1,858
KNDL 2019-KNSQ MORTGAGE TRUST CMO 6.12% DUE 05/15/2036 $ 439
LIFE FINANCIAL SERVICES TRUST CMO 6.07% DUE 03/15/2038 $ 1,195
MKT 2020 525M MORTGAGE TRUST CMO 2.94% DUE 02/12/2040 $ 152
MKT 2020 525M MORTGAGE TRUST CMO 2.94% DUE 02/12/2040 $ 279
MFT TRUST CMO 3.36% DUE 02/10/2042 $ 363
MFT TRUST CMO 3.48% DUE 02/10/2042 $ 381
MORGAN STANLEY CAPITAL I TRUST CMO 2.95% DUE 04/15/2031 $ 1,044
MORGAN STANLEY CAPITAL I TRUST CMO 4.59% DUE 03/15/2049 $ 3,249
MORGAN STANLEY CAPITAL I TRUST CMO 4.27% DUE 03/15/2052 $ 565
NEW RESIDENTIAL MORTGAGE LOAN CMO 3.21% DUE 01/26/2060 $ 1,074
NEWREZ WAREHOUSE SECURITIZATI CMO 5.79% DUE 05/25/2055 $ 1,669
SOFI MORTGAGE TRUST CMO 3.00% DUE 11/25/2046 $ 56
SEQUOIA MORTGAGE TRUST CMO 4.00% DUE 06/25/2048 $ 37
STARWOOD MORTGAGE RESIDENTIAL CMO 2.59% DUE 04/25/2060 $ 2,538
VERUS SECURITIZATION TRUST CMO 3.89% DUE 04/25/2060 $ 2,534
VERUS SECURITIZATION TRUST CMO 2.41% DUE 04/25/2064 $ 531
VERUS SECURITIZATION TRUST CMO 2.40% DUE 06/25/2066 $ 1,458
WELLS FARGO COMMERCIAL MTG CMO 4.40% DUE 06/15/2051 $ 240
WELLS FARGO COMMERCIAL MTG CMO 4.56% DUE 06/15/2051 $ 52
AMCOR FLEXIBLES NORTH AMER Commercial Paper 0.00% DUE 02/21/2023 $ 3,971
AMCOR FLEXIBLES NORTH AMER Commercial Paper 0.00% DUE 02/23/2023 $ 3,970
AMERICAN ELECTRIC POWER CO Commercial Paper 0.00% DUE 02/01/2023 $ 2,987
EVERGY KANSAS Commercial Paper 0.00% DUE 02/02/2023 $ 5,972
NASDAQ INC Commercial Paper 0.00% DUE 03/08/2023 $ 2,973
PARKER HANNIFIN CORP 4 2 Commercial Paper 0.00% DUE 04/06/2023 $ 3,750
SPIRE INC Commercial Paper 0.00% DUE 02/09/2023 $ 4,475
SUNCOR ENERGY INC Commercial Paper 0.00% DUE 02/06/2023 $ 2,985
SUNCOR ENERGY INC Commercial Paper 0.00% DUE 03/15/2023 $ 4,947
TAMPA ELECTRIC CO Commercial Paper 0.00% DUE 02/21/2023 $ 3,971
WALGREENS BOOTS Commercial Paper 0.00% DUE 02/06/2023 $ 4,974
WASTE MANAGEMENT INC Commercial Paper 0.00% DUE 02/08/2023 $ 5,968
ABN AMRO BANK NV Corporate debt 4.75% DUE 07/28/2025 $ 81
ABN AMRO BANK NV Corporate debt 4.75% DUE 07/28/2025 $ 98
ABN AMRO BANK NV Corporate debt 4.75% DUE 07/28/2025 $ 402
ABN AMRO BANK NV Corporate debt 4.75% DUE 07/28/2025 $ 536
ABN AMRO BANK NV Corporate debt 4.75% DUE 07/28/2025 $ 349
AT&T INC Corporate debt 3.50% DUE 09/15/2053 $ 864
AT&T INC Corporate debt 3.55% DUE 09/15/2055 $ 1,601

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ABBVIE INC Corporate debt 4.70% DUE 05/14/2045 $
ABBVIE INC Corporate debt 4.70% DUE 05/14/2045 $ 112
ABBVIE INC Corporate debt 4.70% DUE 05/14/2045 $ 202
ABBVIE INC Corporate debt 4.70% DUE 05/14/2045 $ 274
ABBVIE INC Corporate debt 4.70% DUE 05/14/2045 $ 337
ADVOCATE HEALTH CORP Corporate debt 3.83% DUE 08/15/2028 $ 262
AERCAP IRELAND CAPITAL LTD Corporate debt 3.65% DUE 07/21/2027 $ 226
AERCAP IRELAND CAPITAL LTD Corporate debt 3.65% DUE 07/21/2027 $ 136
AERCAP IRELAND CAPITAL LTD Corporate debt 3.65% DUE 07/21/2027 $ 199
AERCAP IRELAND CAP GLOBAL Corporate debt 3.30% DUE 01/30/2032 $ 2,070
AIR LEASE CORP Corporate debt 3.62% DUE 04/01/2027 $ 96
AIR LEASE CORP Corporate debt 3.62% DUE 04/01/2027 $ 548
AIR LEASE CORP Corporate debt 3.62% DUE 04/01/2027 $ 356
ALASKA AIR 2020 1 CL B Corporate debt 8.00% DUE 02/15/2027 $ 1,916
ALLIANZ SE Corporate debt 3.50% DUE 01/30/3100 $ 506
ALLIANZ SE Corporate debt 3.50% DUE 01/30/3100 $ 844
ALLIANZ SE Corporate debt 3.50% DUE 01/30/3100 $ 844
ALLIANZ SE Corporate debt 3.50% DUE 01/30/3100 $ 213
ALLIANT ENERGY FINANCE Corporate debt 1.40% DUE 03/15/2026 $ 1,445
ALLSTATE CORP Corporate debt 5.75% DUE 08/15/2053 $ 283
ALLSTATE CORP Corporate debt 5.75% DUE 08/15/2053 $ 447
ALLSTATE CORP Corporate debt 5.75% DUE 08/15/2053 $ 377
ALLSTATE CORP Corporate debt 5.75% DUE 08/15/2053 $ 52
ALLSTATE CORP Corporate debt 5.75% DUE 08/15/2053 $ 161
ALLSTATE CORP Corporate debt 5.75% DUE 08/15/2053 $ 140
ALTRIA GROUP INC Corporate debt 5.80% DUE 02/14/2039 $ 875
AMAZON COM INC Corporate debt 4.05% DUE 08/22/2047 $ 273
AMAZON COM INC Corporate debt 4.05% DUE 08/22/2047 $ 152
AMCOR FLEXIBLES NORTH AM Corporate debt 2.69% DUE 05/25/2031 $ 838
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 210
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 83
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 12
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 143
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 140
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 52
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 215
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 255
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 84
AMERICAN INTERNATIONAL GROUP Corporate debt 5.75% DUE 04/01/2048 $ 163
AMERICAN TOWER TRUST Corporate debt 3.65% DUE 03/23/2048 $ 208
ANHEUSER BUSCH CO INBEV Corporate debt 4.90% DUE 02/01/2046 $ 436
ANHEUSER-BUSCH INBEV WORLD Corporate debt 8.20% DUE 01/15/2039 $ 106

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ANHEUSER-BUSCH INBEV WORLD Corporate debt 8.20% DUE 01/15/2039 $
ANHEUSER-BUSCH INBEV WORLD Corporate debt 8.20% DUE 01/15/2039 $ 323
ANHEUSER-BUSCH INBEV WORLD Corporate debt 8.20% DUE 01/15/2039 $ 281
ANHEUSER-BUSCH INBEV WORLD Corporate debt 4.60% DUE 04/15/2048 $ 225
ANHEUSER-BUSCH INBEV WORLD Corporate debt 4.60% DUE 04/15/2048 $ 132
ANHEUSER-BUSCH INBEV WORLD Corporate debt 4.60% DUE 04/15/2048 $ 47
ANTARES HOLDINGS Corporate debt 6.00% DUE 08/15/2023 $ 540
ANTARES HOLDINGS Corporate debt 6.00% DUE 08/15/2023 $ 295
ANTARES HOLDINGS Corporate debt 6.00% DUE 08/15/2023 $ 59
ANTARES HOLDINGS Corporate debt 8.50% DUE 05/18/2025 $ 944
ANTARES HOLDINGS Corporate debt 3.95% DUE 07/15/2026 $ 662
ANTARES HOLDINGS Corporate debt 3.95% DUE 07/15/2026 $ 322
ANTARES HOLDINGS Corporate debt 2.75% DUE 01/15/2027 $ 661
APOLLO MANAGEMENT HOLDIN Corporate debt 4.95% DUE 01/14/2050 $ 227
APOLLO MANAGEMENT HOLDIN Corporate debt 4.95% DUE 01/14/2050 $ 126
APOLLO MANAGEMENT HOLDIN Corporate debt 4.95% DUE 01/14/2050 $ 111
APOLLO MANAGEMENT HOLDIN Corporate debt 4.95% DUE 01/14/2050 $ 393
ARES CAPITAL CORP Corporate debt 2.15% DUE 07/15/2026 $ 947
ARES CAPITAL CORP Corporate debt 2.15% DUE 07/15/2026 $ 1,724
ARES FINANCE CO Corporate debt 4.12% DUE 06/30/2051 $ 793
ASCOT GROUP LTD Corporate debt 4.25% DUE 12/15/2030 $ 1,926
ASCOT GROUP LTD Corporate debt 4.25% DUE 12/15/2030 $ 650
ASCOT GROUP LTD Corporate debt 4.25% DUE 12/15/2030 $ 171
ATHENE GLOBAL FUNDING Corporate debt 2.67% DUE 06/07/2031 $ 1,269
ATHENE HOLDING LTD Corporate debt 6.15% DUE 04/03/2030 $ 662
AVIATION CAPITAL GROUP Corporate debt 3.88% DUE 05/01/2023 $ 539
AVIATION CAPITAL GROUP Corporate debt 3.88% DUE 05/01/2023 $ 297
AVIATION CAPITAL GROUP Corporate debt 3.88% DUE 05/01/2023 $ 460
AVIATION CAPITAL GROUP Corporate debt 5.50% DUE 12/15/2024 $ 2,943
AVNET INC Corporate debt 3.00% DUE 05/15/2031 $ 1,091
AVOLON HOLDINGS FNDG LTD Corporate debt 3.25% DUE 02/15/2027 $ 596
AVOLON HOLDINGS FNDG LTD Corporate debt 3.25% DUE 02/15/2027 $ 163
AVOLON HOLDINGS FNDG LTD Corporate debt 5.50% DUE 01/15/2026 $ 143
AVOLON HOLDINGS FNDG LTD Corporate debt 4.25% DUE 04/15/2026 $ 994
AVOLON HOLDINGS FNDG LTD Corporate debt 4.25% DUE 04/15/2026 $ 390
AVOLON HOLDINGS FNDG LTD Corporate debt 4.25% DUE 04/15/2026 $ 145
AVOLON HOLDINGS FNDG LTD Corporate debt 4.25% DUE 04/15/2026 $ 340
AVOLON HOLDINGS FNDG LTD Corporate debt 2.53% DUE 11/18/2027 $ 1,364
AXIS SPECIALTY FINANCE Corporate debt 4.90% DUE 01/15/2040 $ 361
AXIS SPECIALTY FINANCE Corporate debt 4.90% DUE 01/15/2040 $ 197
BAT CAPITAL CORP Corporate debt 3.56% DUE 08/15/2027 $ 319
BAT CAPITAL CORP Corporate debt 3.56% DUE 08/15/2027 $ 365

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BAT CAPITAL CORP Corporate debt 4.76% DUE 09/06/2049 $
BAT CAPITAL CORP Corporate debt 4.70% DUE 04/02/2027 $ 841
BAT CAPITAL CORP Corporate debt 4.70% DUE 04/02/2027 $ 962
BAT CAPITAL CORP Corporate debt 2.26% DUE 03/25/2028 $ 358
BP CAPITAL MARKETS PLC Corporate debt 4.38% DUE 01/30/3100 $ 202
BP CAPITAL MARKETS PLC Corporate debt 4.38% DUE 01/30/3100 $ 457
BP CAPITAL MARKETS PLC Corporate debt 4.38% DUE 01/30/3100 $ 54
BP CAPITAL MARKETS PLC Corporate debt 4.38% DUE 01/30/3100 $ 134
BP CAPITAL MARKETS PLC Corporate debt 4.38% DUE 01/30/3100 $ 786
BP CAPITAL MARKETS PLC Corporate debt 4.88% DUE 01/30/3100 $ 880
BPCE SA Corporate debt 4.62% DUE 07/11/2024 $ 84
BPCE SA Corporate debt 4.62% DUE 07/11/2024 $ 194
BPCE SA Corporate debt 4.62% DUE 07/11/2024 $ 111
BPCE SA Corporate debt 4.62% DUE 07/11/2024 $ 214
BPCE SA Corporate debt 3.12% DUE 10/19/2032 $ 877
BPCE SA Corporate debt 3.50% DUE 10/23/2027 $ 405
BPCE SA Corporate debt 3.50% DUE 10/23/2027 $ 315
BPCE SA Corporate debt 3.50% DUE 10/23/2027 $ 396
BANK OF AMERICA CORP Corporate debt 4.27% DUE 07/23/2029 $ 234
BANK OF AMERICA CORP Corporate debt 2.30% DUE 07/21/2032 $ 791
BANK OF AMERICA CORP Corporate debt 2.48% DUE 09/21/2036 $ 1,231
BANK OF AMERICA CORP Corporate debt 3.85% DUE 03/08/2037 $ 1,221
BANK OF NOVA SCOTIA Corporate debt 4.65% DUE 01/30/3100 $ 191
BANK OF NOVA SCOTIA Corporate debt 4.65% DUE 01/30/3100 $ 103
BANK OF NOVA SCOTIA Corporate debt 4.65% DUE 01/30/3100 $ 129
BANK OF NOVA SCOTIA Corporate debt 4.65% DUE 01/30/3100 $ 372
BANK OF NOVA SCOTIA Corporate debt 4.65% DUE 01/30/3100 $ 437
BANK OF NOVA SCOTIA Corporate debt 4.65% DUE 01/30/3100 $ 302
BARCLAYS PLC Corporate debt 5.20% DUE 05/12/2026 $ 959
BARCLAYS PLC Corporate debt 4.34% DUE 01/10/2028 $ 186
BARCLAYS PLC Corporate debt 4.34% DUE 01/10/2028 $ 279
BARCLAYS PLC Corporate debt 4.34% DUE 01/10/2028 $ 349
BARCLAYS PLC Corporate debt 4.34% DUE 01/10/2028 $ 447
BARCLAYS PLC Corporate debt 8.00% DUE 01/30/3100 $ 1,004
BIO RAD LABS Corporate debt 3.70% DUE 03/15/2032 $ 1,131
BLACKROCK TCP CAP CORP Corporate debt 3.90% DUE 08/23/2024 $ 970
BLACKSTONE PRIVATE CRE Corporate debt 1.75% DUE 09/15/2024 $ 193
BLACKSTONE PRIVATE CRE Corporate debt 1.75% DUE 09/15/2024 $ 920
BLACKSTONE PRIVATE CRE Corporate debt 2.62% DUE 12/15/2026 $ 784
BLACKSTONE PRIVATE CRE Corporate debt 2.70% DUE 01/15/2025 $ 1,212
BLUE OWL FINANCE LLC Corporate debt 3.12% DUE 06/10/2031 $ 1,009
BLUE OWL FINANCE LLC Corporate debt 3.12% DUE 06/10/2031 $ 191

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BLUE OWL FINANCE LLC Corporate debt 3.12% DUE 06/10/2031 $
BLUE OWL FINANCE LLC Corporate debt 3.12% DUE 06/10/2031 $ 508
BLUE OWL FINANCE LLC Corporate debt 4.12% DUE 10/07/2051 $ 632
BOEING CO Corporate debt 5.93% DUE 05/01/2060 $ 364
BOEING CO Corporate debt 5.15% DUE 05/01/2030 $ 1,443
BRITISH AIR 21 1 B PPT Corporate debt 3.90% DUE 03/15/2033 $ 779
BRITISH AIR 20 1 A PPT Corporate debt 4.25% DUE 11/15/2032 $ 572
BRITISH TELECOMMUNICATIONS Corporate debt 9.62% DUE 12/15/2030 $ 569
BROADSTONE NET LEASE LLC Corporate debt 2.60% DUE 09/15/2031 $ 880
BROOKFIELD FINANCE INC Corporate debt 4.35% DUE 04/15/2030 $ 1,232
BURLINGTON NORTH SANTA FE Corporate debt 4.90% DUE 04/01/2044 $ 124
BURLINGTON NORTH SANTA FE Corporate debt 4.90% DUE 04/01/2044 $ 95
BURLINGTON NORTH SANTA FE Corporate debt 4.90% DUE 04/01/2044 $ 119
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 24
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 7
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 27
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 128
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 5
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 13
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 6
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 116
CCO HOLDINGS LLC CAP CORP Corporate debt 5.12% DUE 05/01/2027 $ 181
CCL INDUSTRIES INC Corporate debt 3.05% DUE 06/01/2030 $ 904
CNO FINANCIAL GROUP INC Corporate debt 5.25% DUE 05/30/2029 $ 1,334
CNO FINANCIAL GROUP INC Corporate debt 5.25% DUE 05/30/2029 $ 978
CSX CORP Corporate debt 5.50% DUE 04/15/2041 $ 177
CSX CORP Corporate debt 5.50% DUE 04/15/2041 $ 126
CSX CORP Corporate debt 5.50% DUE 04/15/2041 $ 167
CSL FINANCE PLC Corporate debt 4.62% DUE 04/27/2042 $ 551
CVS CAREMARK CORP Corporate debt 4.88% DUE 07/20/2035 $ 100
CVS CAREMARK CORP Corporate debt 4.88% DUE 07/20/2035 $ 57
CVS CAREMARK CORP Corporate debt 4.88% DUE 07/20/2035 $ 38
CVS CAREMARK CORP Corporate debt 4.88% DUE 07/20/2035 $ 110
CVS HEALTH CORP Corporate debt 5.05% DUE 03/25/2048 $ 235
CVS HEALTH CORP Corporate debt 5.05% DUE 03/25/2048 $ 135
CVS HEALTH CORP Corporate debt 5.05% DUE 03/25/2048 $ 203
CARLYLE FINANCE SUB LLC Corporate debt 3.50% DUE 09/19/2029 $ 301
CARLYLE FINANCE SUB LLC Corporate debt 3.50% DUE 09/19/2029 $ 166
CELANESE US HOLDINGS LLC Corporate debt 6.05% DUE 03/15/2025 $ 1,537
CENOVUS ENERGY INC Corporate debt 6.75% DUE 11/15/2039 $ 104
CENOVUS ENERGY INC Corporate debt 6.75% DUE 11/15/2039 $ 208
CENOVUS ENERGY INC Corporate debt 6.75% DUE 11/15/2039 $ 172

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CENTERPOINT ENERGY RESOURCES Corporate debt 6.62% DUE 11/01/2037 $
CENTERPOINT ENERGY RES Corporate debt 5.85% DUE 01/15/2041 $ 177
CENTERPOINT ENERGY RES Corporate debt 5.85% DUE 01/15/2041 $ 96
CHARTER COMM OPT LLC CAP Corporate debt 6.48% DUE 10/23/2045 $ 90
CHARTER COMM OPT LLC CAP Corporate debt 6.48% DUE 10/23/2045 $ 90
CHARTER COMM OPT LLC CAP Corporate debt 6.48% DUE 10/23/2045 $ 348
CHARTER COMM OPT LLC CAP Corporate debt 3.90% DUE 06/01/2052 $ 277
CLEVELAND ELECTRIC ILLUM Corporate debt 3.50% DUE 04/01/2028 $ 151
CLEVELAND ELECTRIC ILLUM Corporate debt 3.50% DUE 04/01/2028 $ 92
CLEVELAND ELECTRIC ILLUM Corporate debt 3.50% DUE 04/01/2028 $ 133
CLEVELAND ELECTRIC ILLUM Corporate debt 3.50% DUE 04/01/2028 $ 915
COMCAST CORP Corporate debt 3.97% DUE 11/01/2047 $ 205
COMCAST CORP Corporate debt 3.97% DUE 11/01/2047 $ 349
COMCAST CORP Corporate debt 2.89% DUE 11/01/2051 $ 230
COMCAST CORP Corporate debt 2.94% DUE 11/01/2056 $ 300
COREBRIDGE FINANCIAL INC Corporate debt 6.88% DUE 12/15/2052 $ 411
COREBRIDGE FINANCIAL INC Corporate debt 6.88% DUE 12/15/2052 $ 1,086
CREDIT SUISSE GROUP AG Corporate debt 2.59% DUE 09/11/2025 $ 1,041
CREDIT SUISSE GROUP AG Corporate debt 6.37% DUE 07/15/2026 $ 658
CREDIT SUISSE GROUP AG Corporate debt 6.50% DUE 08/08/2023 $ 581
CREDIT SUISSE GROUP AG Corporate debt 6.50% DUE 08/08/2023 $ 319
CREDIT SUISSE GROUP AG Corporate debt 6.50% DUE 08/08/2023 $ 143
CUSTOMERS BANCORP INC Corporate debt 2.88% DUE 08/15/2031 $ 3,583
DEUTSCHE BANK NY Corporate debt 2.55% DUE 01/07/2028 $ 1,472
DIAMONDBACK ENERGY INC Corporate debt 6.25% DUE 03/15/2053 $ 609
DISCOVER BANK Corporate debt 4.68% DUE 08/09/2028 $ 806
DISCOVER BANK Corporate debt 4.68% DUE 08/09/2028 $ 441
DISCOVER BANK Corporate debt 4.68% DUE 08/09/2028 $ 959
DISCOVERY COMMUNICATIONS Corporate debt 4.65% DUE 05/15/2050 $ 166
DISCOVERY COMMUNICATIONS Corporate debt 4.00% DUE 09/15/2055 $ 414
DOMINION RESOURCES INC Corporate debt 5.25% DUE 08/01/2033 $ 196
DOMINION RESOURCES INC Corporate debt 5.25% DUE 08/01/2033 $ 123
DOMINION RESOURCES INC Corporate debt 5.25% DUE 08/01/2033 $ 177
DOW CHEMICAL COMPANY Corporate debt 4.38% DUE 11/15/2042 $ 62
DOW CHEMICAL COMPANY Corporate debt 4.38% DUE 11/15/2042 $ 83
DOW CHEMICAL COMPANY Corporate debt 4.38% DUE 11/15/2042 $ 79
DOWDUPONT INC Corporate debt 5.32% DUE 11/15/2038 $ 682
DUKE ENERGY CORP Corporate debt 2.65% DUE 09/01/2026 $ 513
DUKE ENERGY CORP Corporate debt 2.65% DUE 09/01/2026 $ 129
DUKE ENERGY CORP Corporate debt 2.65% DUE 09/01/2026 $ 194
DUKE ENERGY CORP Corporate debt 2.65% DUE 09/01/2026 $ 462
EQT CORP Corporate debt 3.90% DUE 10/01/2027 $ 231

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EQT CORP Corporate debt 3.90% DUE 10/01/2027 $
EQT CORP Corporate debt 3.90% DUE 10/01/2027 $ 105
EQT CORP Corporate debt 3.90% DUE 10/01/2027 $ 369
EQT CORP Corporate debt 3.90% DUE 10/01/2027 $ 157
EQT CORP Corporate debt 3.90% DUE 10/01/2027 $ 166
EQT CORP Corporate debt 3.90% DUE 10/01/2027 $ 762
EQT CORP Corporate debt 7.00% DUE 02/01/2030 $ 912
ERAC USA FINANCE COMPANY Corporate debt 3.30% DUE 12/01/2026 $ 1,439
ELECTRONIC ARTS INC Corporate debt 2.95% DUE 02/15/2051 $ 206
ELECTRONIC ARTS INC Corporate debt 2.95% DUE 02/15/2051 $ 284
ENABLE MIDSTREAM PARTNER Corporate debt 4.40% DUE 03/15/2027 $ 196
ENCANA CORP Corporate debt 6.50% DUE 08/15/2034 $ 656
ENCANA CORP Corporate debt 6.50% DUE 02/01/2038 $ 174
ENCANA CORP Corporate debt 6.50% DUE 02/01/2038 $ 124
ENCANA CORP Corporate debt 6.50% DUE 02/01/2038 $ 164
ENERGY TRANSFER PARTNERS Corporate debt 6.50% DUE 02/01/2042 $ 104
ENERGY TRANSFER PARTNERS Corporate debt 6.50% DUE 02/01/2042 $ 198
ENERGY TRANSFER PARTNERS Corporate debt 6.50% DUE 02/01/2042 $ 273
ENERGY TRANSFER PARTNERS Corporate debt 6.12% DUE 12/15/2045 $ 51
ENERGY TRANSFER PARTNERS Corporate debt 4.20% DUE 04/15/2027 $ 85
ENERGY TRANSFER PARTNERS Corporate debt 4.20% DUE 04/15/2027 $ 203
ENERGY TRANSFER PARTNERS Corporate debt 4.20% DUE 04/15/2027 $ 284
ENERGY TRANSFER LP Corporate debt 6.75% DUE 01/30/3100 $ 1,125
ENEL FINANCE INTL NV Corporate debt 5.00% DUE 06/15/2032 $ 899
ENERGY TRANSFER OPERATNG Corporate debt 5.88% DUE 01/15/2024 $ 376
ENERGY TRANSFER OPERATNG Corporate debt 5.88% DUE 01/15/2024 $ 8
ENLINK MIDSTREAM PARTNER Corporate debt 4.85% DUE 07/15/2026 $ 43
ENLINK MIDSTREAM PARTNER Corporate debt 4.85% DUE 07/15/2026 $ 10
ENLINK MIDSTREAM PARTNER Corporate debt 4.85% DUE 07/15/2026 $ 95
ENLINK MIDSTREAM PARTNER Corporate debt 4.85% DUE 07/15/2026 $ 80
ENSTAR GROUP LTD Corporate debt 4.95% DUE 06/01/2029 $ 320
ENSTAR GROUP LTD Corporate debt 4.95% DUE 06/01/2029 $ 320
ENSTAR GROUP LTD Corporate debt 4.95% DUE 06/01/2029 $ 352
ENSTAR FINANCE LLC Corporate debt 5.75% DUE 09/01/2040 $ 1,914
ENTERGY TEXAS INC Corporate debt 1.50% DUE 09/01/2026 $ 1,440
ENTERGY ARKANSAS LLC Corporate debt 2.65% DUE 06/15/2051 $ 648
ENTERPRISE PRODUCTS OPER Corporate debt 5.25% DUE 08/16/2077 $ 29
ENTERPRISE PRODUCTS OPER Corporate debt 5.25% DUE 08/16/2077 $ 29
ENTERPRISE PRODUCTS OPER Corporate debt 5.25% DUE 08/16/2077 $ 24
ENTERPRISE PRODUCTS OPER Corporate debt 5.25% DUE 08/16/2077 $ 82
ENTERPRISE PRODUCTS OPER Corporate debt 5.25% DUE 08/16/2077 $ 593
ENTERPRISE PRODUCTS OPER LLC Corporate debt 5.38% DUE 02/15/2078 $ 162

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ENTERPRISE PRODUCTS OPER LLC Corporate debt 5.38% DUE 02/15/2078 $
ENTERPRISE PRODUCTS OPER LLC Corporate debt 5.38% DUE 02/15/2078 $ 250
EQUITABLE HOLDINGS INC Corporate debt 4.95% DUE 01/30/3100 $ 689
EXPEDIA GROUP INC Corporate debt 4.62% DUE 08/01/2027 $ 211
EXPEDIA GROUP INC Corporate debt 4.62% DUE 08/01/2027 $ 266
EXPEDIA GROUP INC Corporate debt 4.62% DUE 08/01/2027 $ 161
EXPEDIA GROUP INC Corporate debt 4.62% DUE 08/01/2027 $ 107
EXPEDIA GROUP INC Corporate debt 4.62% DUE 08/01/2027 $ 107
FIRST REPUBLIC BANK Corporate debt 4.38% DUE 08/01/2046 $ 402
FIRST REPUBLIC BANK Corporate debt 4.38% DUE 08/01/2046 $ 191
FIRST REPUBLIC BANK Corporate debt 4.38% DUE 08/01/2046 $ 115
FIRST REPUBLIC BANK Corporate debt 4.38% DUE 08/01/2046 $ 142
FIRST REPUBLIC BANK Corporate debt 4.38% DUE 08/01/2046 $ 440
FLEETBOSTON FINANCIAL CORP Corporate debt 6.70% DUE 07/15/2028 $ 554
FLORIDA POWER AND LIGHT Corporate debt 4.12% DUE 02/01/2042 $ 144
FLORIDA POWER AND LIGHT Corporate debt 4.12% DUE 02/01/2042 $ 78
FLORIDA POWER CORP Corporate debt 6.40% DUE 06/15/2038 $ 149
FLORIDA POWER CORP Corporate debt 6.40% DUE 06/15/2038 $ 111
FLORIDA POWER CORP Corporate debt 6.40% DUE 06/15/2038 $ 144
FORD MOTOR COMPANY Corporate debt 3.25% DUE 02/12/2032 $ 1,242
FORD MOTOR CREDIT CO LLC Corporate debt 2.30% DUE 02/10/2025 $ 1,190
GA GLOBAL FUNDING TRUST Corporate debt 2.25% DUE 01/06/2027 $ 759
GENERAL MOTORS CO Corporate debt 4.20% DUE 10/01/2027 $ 212
GENERAL MOTORS CO Corporate debt 4.20% DUE 10/01/2027 $ 118
GENERAL MOTORS CO Corporate debt 4.20% DUE 10/01/2027 $ 184
GENERAL MOTORS CO Corporate debt 5.15% DUE 04/01/2038 $ 122
GENERAL MOTORS CO Corporate debt 5.15% DUE 04/01/2038 $ 87
GENERAL MOTORS CO Corporate debt 5.15% DUE 04/01/2038 $ 113
GENERAL MOTORS CO Corporate debt 6.80% DUE 10/01/2027 $ 760
GENERAL MOTORS CO Corporate debt 6.80% DUE 10/01/2027 $ 384
GENERAL MOTORS FINL CO Corporate debt 3.10% DUE 01/12/2032 $ 934
GLOBAL NET LEASE/GLOBAL Corporate debt 3.75% DUE 12/15/2027 $ 262
GLOBAL NET LEASE/GLOBAL Corporate debt 3.75% DUE 12/15/2027 $ 1,170
GLOBAL ATLANTIC FIN CO Corporate debt 3.12% DUE 06/15/2031 $ 810
GLOBAL ATLANTIC FIN CO Corporate debt 3.12% DUE 06/15/2031 $ 357
GLOBAL ATLANTIC FIN CO Corporate debt 3.12% DUE 06/15/2031 $ 237
GLOBAL ATLANTIC FIN CO Corporate debt 3.12% DUE 06/15/2031 $ 59
GLOBAL ATLANTIC FIN CO Corporate debt 3.12% DUE 06/15/2031 $ 357
GLOBAL ATLANTIC Corporate debt 4.70% DUE 10/15/2051 $ 1,546
GLOBAL AIR LEASE CO LTD Corporate debt 6.50% DUE 09/15/2024 $ 384
GLOBAL AIR LEASE CO LTD Corporate debt 6.50% DUE 09/15/2024 $ 384
GLOBAL AIR LEASE CO LTD Corporate debt 6.50% DUE 09/15/2024 $ 422

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GLOBAL AIR LEASE CO LTD Corporate debt 6.50% DUE 09/15/2024 $
GLOBAL AIR LEASE CO LTD Corporate debt 6.50% DUE 09/15/2024 $ 45
GLOBAL AIR LEASE CO LTD Corporate debt 6.50% DUE 09/15/2024 $ 46
GOLDMAN SACHS GROUP INC Corporate debt 6.75% DUE 10/01/2037 $ 106
GOLDMAN SACHS GROUP INC Corporate debt 6.75% DUE 10/01/2037 $ 240
GOLDMAN SACHS GROUP INC Corporate debt 6.75% DUE 10/01/2037 $ 186
GOLDMAN SACHS GROUP INC Corporate debt 6.75% DUE 10/01/2037 $ 293
GOLDMAN SACHS GROUP INC Corporate debt 6.75% DUE 10/01/2037 $ 399
GOLUB CAPITAL BDC Corporate debt 3.38% DUE 04/15/2024 $ 259
GOLUB CAPITAL BDC Corporate debt 3.38% DUE 04/15/2024 $ 595
GOLUB CAPITAL BDC Corporate debt 3.38% DUE 04/15/2024 $ 397
GOLUB CAPITAL BDC Corporate debt 3.38% DUE 04/15/2024 $ 288
GOLUB CAPITAL BDC Corporate debt 2.50% DUE 08/24/2026 $ 498
HSBC HOLDINGS PLC Corporate debt 2.21% DUE 08/17/2029 $ 626
HSBC HOLDINGS PLC Corporate debt 2.21% DUE 08/17/2029 $ 486
HSBC HOLDINGS PLC Corporate debt 3.00% DUE 03/10/2026 $ 1,007
HSBC HOLDINGS PLC Corporate debt 7.35% DUE 11/27/2032 $ 1,048
HSBC HOLDINGS PLC Corporate debt 6.50% DUE 09/15/2037 $ 374
HALLIBURTON CO Corporate debt 5.00% DUE 11/15/2045 $ 540
HANWHA LIFE INSURANCE Corporate debt 3.38% DUE 02/04/2032 $ 1,399
HEARTLAND FINANCIAL USA Corporate debt 2.75% DUE 09/15/2031 $ 692
HERCULES CAPITAL INC Corporate debt 2.62% DUE 09/16/2026 $ 1,271
HERCULES CAPITAL INC Corporate debt 2.62% DUE 09/16/2026 $ 125
HERCULES CAPITAL INC Corporate debt 2.62% DUE 09/16/2026 $ 384
HERCULES CAPITAL INC Corporate debt 2.62% DUE 09/16/2026 $ 562
HERCULES CAPITAL INC Corporate debt 3.38% DUE 01/20/2027 $ 600
SERVICE PROPERTIES TRUST Corporate debt 4.50% DUE 06/15/2023 $ 244
SERVICE PROPERTIES TRUST Corporate debt 4.50% DUE 06/15/2023 $ 133
SERVICE PROPERTIES TRUST Corporate debt 4.95% DUE 10/01/2029 $ 413
HOST HOTELS & RESORTS LP Corporate debt 3.50% DUE 09/15/2030 $ 397
HOST HOTELS & RESORTS LP Corporate debt 3.50% DUE 09/15/2030 $ 286
HOST HOTELS & RESORTS LP Corporate debt 2.90% DUE 12/15/2031 $ 281
HYUNDAI CAPITAL AMERICA Corporate debt 1.50% DUE 06/15/2026 $ 1,544
ICAHN ENTERPRISES FIN Corporate debt 4.75% DUE 09/15/2024 $ 439
IMPERIAL BRANDS FIN PLC Corporate debt 3.88% DUE 07/26/2029 $ 416
IMPERIAL BRANDS FIN PLC Corporate debt 3.88% DUE 07/26/2029 $ 227
IMPERIAL BRANDS FIN PLC Corporate debt 3.88% DUE 07/26/2029 $ 123
IMPERIAL BRANDS FIN PLC Corporate debt 3.88% DUE 07/26/2029 $ 255
IMPERIAL BRANDS FIN PLC Corporate debt 3.88% DUE 07/26/2029 $ 317
ING GROUP NV Corporate debt 1.73% DUE 04/01/2027 $ 677
INVITATION HOMES OP Corporate debt 4.15% DUE 04/15/2032 $ 315
IPALCO ENTERPRISES INC Corporate debt 3.70% DUE 09/01/2024 $ 179

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IPALCO ENTERPRISES INC Corporate debt 3.70% DUE 09/01/2024 $
JBS USA FOOD FINANCE Corporate debt 5.50% DUE 01/15/2030 $ 232
JBS USA FOOD FINANCE Corporate debt 5.50% DUE 01/15/2030 $ 128
JBS USA FOOD FINANCE Corporate debt 5.50% DUE 01/15/2030 $ 575
JBS USA FOOD FINANCE Corporate debt 5.50% DUE 01/15/2030 $ 114
JBS USA FOOD FINANCE Corporate debt 3.75% DUE 12/01/2031 $ 173
JBS USA FOOD FINANCE Corporate debt 3.62% DUE 01/15/2032 $ 1,850
JPMORGAN CHASE & CO Corporate debt 6.40% DUE 05/15/2038 $ 125
JPMORGAN CHASE & CO Corporate debt 6.40% DUE 05/15/2038 $ 109
JPMORGAN CHASE & CO Corporate debt 6.40% DUE 05/15/2038 $ 131
JPMORGAN CHASE & CO Corporate debt 5.60% DUE 07/15/2041 $ 126
JPMORGAN CHASE & CO Corporate debt 5.60% DUE 07/15/2041 $ 101
JPMORGAN CHASE & CO Corporate debt 5.60% DUE 07/15/2041 $ 126
JPMORGAN CHASE & CO Corporate debt 3.78% DUE 02/01/2028 $ 468
JPMORGAN CHASE & CO Corporate debt 3.78% DUE 02/01/2028 $ 258
JPMORGAN CHASE & CO Corporate debt 2.96% DUE 05/13/2031 $ 488
JACKSON FINANCIAL INC Corporate debt 3.12% DUE 11/23/2031 $ 582
KKR GROUP FINAN CO VIII Corporate debt 3.50% DUE 08/25/2050 $ 283
KKR GROUP FIN CO X LLC Corporate debt 3.25% DUE 12/15/2051 $ 428
KEMPER CORP Corporate debt 3.80% DUE 02/23/2032 $ 1,404
KYOBO LIFE INSURANCE CO Corporate debt 5.90% DUE 06/15/2052 $ 1,456
KYOBO LIFE INSURANCE CO Corporate debt 5.90% DUE 06/15/2052 $ 927
LAS VEGAS SANDS CORP Corporate debt 3.20% DUE 08/08/2024 $ 404
LAS VEGAS SANDS CORP Corporate debt 3.20% DUE 08/08/2024 $ 352
LAS VEGAS SANDS CORP Corporate debt 3.20% DUE 08/08/2024 $ 487
LAZARD GROUP LLC Corporate debt 3.62% DUE 03/01/2027 $ 98
LAZARD GROUP LLC Corporate debt 3.62% DUE 03/01/2027 $ 93
LAZARD GROUP LLC Corporate debt 4.50% DUE 09/19/2028 $ 269
LAZARD GROUP LLC Corporate debt 4.50% DUE 09/19/2028 $ 255
LAZARD GROUP LLC Corporate debt 4.38% DUE 03/11/2029 $ 556
LEAR CORP Corporate debt 3.55% DUE 01/15/2052 $ 516
LEASEPLAN CORPORATION NV Corporate debt 2.88% DUE 10/24/2024 $ 470
LEASEPLAN CORPORATION NV Corporate debt 2.88% DUE 10/24/2024 $ 259
LEIDOS INC Corporate debt 2.30% DUE 02/15/2031 $ 571
LIBERTY MUTUAL GROUP INC Corporate debt 4.12% DUE 12/15/2051 $ 703
LINCOLN NATIONAL CORP Corporate debt 9.25% DUE 01/30/3100 $ 677
MPLX LP Corporate debt 6.88% DUE 01/30/3100 $ 321
MPLX LP Corporate debt 6.88% DUE 01/30/3100 $ 290
MPLX LP Corporate debt 6.88% DUE 01/30/3100 $ 336
MACQUARIE BANK LTD Corporate debt 3.05% DUE 03/03/2036 $ 376
MACQUARIE BANK LTD Corporate debt 3.05% DUE 03/03/2036 $ 224
MACQUARIE BANK LTD Corporate debt 3.05% DUE 03/03/2036 $ 747

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MAGALLANES INC Corporate debt 4.28% DUE 03/15/2032 $
MAGALLANES INC Corporate debt 4.28% DUE 03/15/2032 $ 699
MARRIOTT INTERNATIONAL Corporate debt 2.85% DUE 04/15/2031 $ 606
MERRILL LYNCH & CO Corporate debt 7.75% DUE 05/14/2038 $ 176
MERRILL LYNCH & CO Corporate debt 7.75% DUE 05/14/2038 $ 176
MERRILL LYNCH & CO Corporate debt 7.75% DUE 05/14/2038 $ 193
METLIFE CAPITAL TRUST Corporate debt 7.88% DUE 12/15/2067 $ 487
MICROCHIP TECHNOLOGY INC Corporate debt 0.97% DUE 02/15/2024 $ 984
MIDAMERICAN ENERGY HOLDINGS Corporate debt 6.12% DUE 04/01/2036 $ 148
MIDAMERICAN ENERGY HOLDINGS Corporate debt 6.12% DUE 04/01/2036 $ 211
MIDAMERICAN ENERGY HOLDINGS Corporate debt 6.12% DUE 04/01/2036 $ 184
MIDAMERICAN ENERGY HOLDINGS Corporate debt 6.12% DUE 04/01/2036 $ 300
MOLSON COORS BEVERAGE CO Corporate debt 5.00% DUE 05/01/2042 $ 58
MOLSON COORS BEVERAGE CO Corporate debt 5.00% DUE 05/01/2042 $ 178
MOLSON COORS BEVERAGE CO Corporate debt 5.00% DUE 05/01/2042 $ 129
MOLSON COORS BEVERAGE CO Corporate debt 4.20% DUE 07/15/2046 $ 65
MOLSON COORS BEVERAGE CO Corporate debt 4.20% DUE 07/15/2046 $ 65
MOLSON COORS BEVERAGE CO Corporate debt 4.20% DUE 07/15/2046 $ 49
MOLSON COORS BEVERAGE CO Corporate debt 4.20% DUE 07/15/2046 $ 21
MOLSON COORS BEVERAGE CO Corporate debt 4.20% DUE 07/15/2046 $ 117
MOLSON COORS BEVERAGE CO Corporate debt 4.20% DUE 07/15/2046 $ 176
MOLSON COORS BEVERAGE CO Corporate debt 4.20% DUE 07/15/2046 $ 317
MORGAN STANLEY Corporate debt 2.48% DUE 09/16/2036 $ 587
MORGAN STANLEY Corporate debt 4.21% DUE 04/20/2028 $ 961
MORGAN STANLEY Corporate debt 5.30% DUE 04/20/2037 $ 595
MORGAN STANLEY Corporate debt 3.22% DUE 04/22/2042 $ 663
MUNICH RE Corporate debt 5.88% DUE 05/23/2042 $ 822
MYLAN NV Corporate debt 5.25% DUE 06/15/2046 $ 532
NBN CO LTD Corporate debt 2.62% DUE 05/05/2031 $ 795
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 20
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 11
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 36
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 9
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 12
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 175
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 140
NOV INC Corporate debt 3.95% DUE 12/01/2042 $ 220
NOV INC Corporate debt 3.60% DUE 12/01/2029 $ 370
NOV INC Corporate debt 3.60% DUE 12/01/2029 $ 203
NOV INC Corporate debt 3.60% DUE 12/01/2029 $ 198
NOV INC Corporate debt 3.60% DUE 12/01/2029 $ 281
NOV INC Corporate debt 3.60% DUE 12/01/2029 $ 280

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NOV INC Corporate debt 3.60% DUE 12/01/2029 $
NOV INC Corporate debt 3.60% DUE 12/01/2029 $ 108
NETFLIX INC Corporate debt 5.88% DUE 11/15/2028 $ 839
NETFLIX INC Corporate debt 5.88% DUE 11/15/2028 $ 549
NEWELL BRANDS INC Corporate debt 4.45% DUE 04/01/2026 $ 393
NEWELL BRANDS INC Corporate debt 4.45% DUE 04/01/2026 $ 471
NEWELL BRANDS INC Corporate debt 4.45% DUE 04/01/2026 $ 156
NEWFIELD EXPLORATION Corporate debt 5.38% DUE 01/01/2026 $ 818
NEWFIELD EXPLORATION Corporate debt 5.38% DUE 01/01/2026 $ 451
NEXTERA ENERGY CAPITAL Corporate debt 3.80% DUE 03/15/2082 $ 1,306
NISOURCE FINANCE CORP Corporate debt 5.80% DUE 02/01/2042 $ 76
NISOURCE FINANCE CORP Corporate debt 5.80% DUE 02/01/2042 $ 237
NISOURCE FINANCE CORP Corporate debt 3.95% DUE 03/30/2048 $ 325
NISOURCE FINANCE CORP Corporate debt 3.95% DUE 03/30/2048 $ 176
NISOURCE FINANCE CORP Corporate debt 3.95% DUE 03/30/2048 $ 414
NISSAN MOTOR CO Corporate debt 4.34% DUE 09/17/2027 $ 764
NORDEA BANK AB Corporate debt 4.62% DUE 09/13/2033 $ 645
NORDEA BANK AB Corporate debt 4.62% DUE 09/13/2033 $ 355
NORFOLK SOUTHERN CORP Corporate debt 4.05% DUE 08/15/2052 $ 408
O'REILLY AUTOMOTIVE INC Corporate debt 3.60% DUE 09/01/2027 $ 383
O'REILLY AUTOMOTIVE INC Corporate debt 3.60% DUE 09/01/2027 $ 898
OCCIDENTAL PETROLEUM COR Corporate debt 6.45% DUE 09/15/2036 $ 740
OCCIDENTAL PETROLEUM COR Corporate debt 6.45% DUE 09/15/2036 $ 408
OHIO EDISON Corporate debt 8.25% DUE 10/15/2038 $ 120
OHIO EDISON Corporate debt 8.25% DUE 10/15/2038 $ 56
OMEGA HLTHCARE INVESTORS Corporate debt 3.38% DUE 02/01/2031 $ 773
ORACLE CORP Corporate debt 6.90% DUE 11/09/2052 $ 617
OWL ROCK CORE INCOME COR Corporate debt 4.70% DUE 02/08/2027 $ 1,194
PG&E WILDFIRE RECOVERY Corporate debt 4.67% DUE 12/01/2051 $ 713
PG&E WILDFIRE RECOVERY Corporate debt 5.10% DUE 06/01/2052 $ 2,242
PRA GROUP INC Corporate debt 7.38% DUE 09/01/2025 $ 1,063
PACIFIC GAS & ELECTRIC Corporate debt 2.50% DUE 02/01/2031 $ 359
PATTERSON UTI ENERGY INC Corporate debt 3.95% DUE 02/01/2028 $ 16
PATTERSON UTI ENERGY INC Corporate debt 3.95% DUE 02/01/2028 $ 77
PATTERSON UTI ENERGY INC Corporate debt 3.95% DUE 02/01/2028 $ 25
PATTERSON UTI ENERGY INC Corporate debt 3.95% DUE 02/01/2028 $ 306
PATTERSON UTI ENERGY INC Corporate debt 3.95% DUE 02/01/2028 $ 269
PATTERSON UTI ENERGY INC Corporate debt 3.95% DUE 02/01/2028 $ 88
PATTERSON UTI ENERGY INC Corporate debt 3.95% DUE 02/01/2028 $ 834
PATTERSON UTI ENERGY INC Corporate debt 5.15% DUE 11/15/2029 $ 725
PENNSYLVANIA ELECTRIC CO Corporate debt 4.15% DUE 04/15/2025 $ 288
PENNSYLVANIA ELECTRIC CO Corporate debt 4.15% DUE 04/15/2025 $ 144

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PENNSYLVANIA ELECTRIC CO Corporate debt 4.15% DUE 04/15/2025 $
PENTAIR FINANCE SARL Corporate debt 5.90% DUE 07/15/2032 $ 1,593
PETROLEOS MEXICANOS Corporate debt 6.38% DUE 01/23/2045 $ 62
PETROLEOS MEXICANOS Corporate debt 6.38% DUE 01/23/2045 $ 34
PETROLEOS MEXICANOS Corporate debt 5.35% DUE 02/12/2028 $ 168
PETROLEOS MEXICANOS Corporate debt 5.35% DUE 02/12/2028 $ 105
PETROLEOS MEXICANOS Corporate debt 5.35% DUE 02/12/2028 $ 151
PIEDMONT OPERATING PARTN Corporate debt 2.75% DUE 04/01/2032 $ 283
PIEDMONT OPERATING PARTN Corporate debt 2.75% DUE 04/01/2032 $ 184
PLAINS ALL AMERICAN PIPELINE Corporate debt 4.70% DUE 06/15/2044 $ 95
PLAINS ALL AMERICAN PIPELINE Corporate debt 4.70% DUE 06/15/2044 $ 190
PLAINS ALL AMERICAN PIPELINE Corporate debt 4.70% DUE 06/15/2044 $ 6
PLAINS ALL AMERICAN PIPELINE Corporate debt 4.70% DUE 06/15/2044 $ 5
PLAINS ALL AMERICAN PIPELINE Corporate debt 4.70% DUE 06/15/2044 $ 164
PLAINS ALL AMERICAN PIPELINE Corporate debt 3.80% DUE 09/15/2030 $ 589
PRIME PROPERTYFUND LLC Corporate debt 2.46% DUE 10/13/2030 $ 396
PRIME PROPERTYFUND LLC Corporate debt 2.56% DUE 10/13/2032 $ 1,375
PRIME PROPERTYFUND LLC Corporate debt 2.71% DUE 10/13/2035 $ 266
PRUDENTIAL FINANCIAL INC Corporate debt 5.62% DUE 06/15/2043 $ 269
PRUDENTIAL FINANCIAL INC Corporate debt 5.62% DUE 06/15/2043 $ 248
PRUDENTIAL FINANCIAL INC Corporate debt 5.62% DUE 06/15/2043 $ 1,478
PRUDENTIAL FINANCIAL INC Corporate debt 5.70% DUE 09/15/2048 $ 685
PRUDENTIAL FINANCIAL INC Corporate debt 5.70% DUE 09/15/2048 $ 378
PUGET ENERGY INC Corporate debt 2.38% DUE 06/15/2028 $ 478
PUGET ENERGY INC Corporate debt 5.76% DUE 10/01/2039 $ 176
PUGET ENERGY INC Corporate debt 5.76% DUE 10/01/2039 $ 126
PUGET ENERGY INC Corporate debt 5.76% DUE 10/01/2039 $ 166
RENSANT CORP Corporate debt 3.00% DUE 12/01/2031 $ 1,280
REXFORD INDUSTRIAL REALTY Corporate debt 2.12% DUE 12/01/2030 $ 298
REXFORD INDUSTRIAL REALTY Corporate debt 2.12% DUE 12/01/2030 $ 242
REXFORD INDUSTRIAL REALTY Corporate debt 2.12% DUE 12/01/2030 $ 96
REYNOLDS AMERICAN INC Corporate debt 5.85% DUE 08/15/2045 $ 73
REYNOLDS AMERICAN INC Corporate debt 5.85% DUE 08/15/2045 $ 258
REYNOLDS AMERICAN INC Corporate debt 5.85% DUE 08/15/2045 $ 236
NATWEST GROUP PLC Corporate debt 3.07% DUE 05/22/2028 $ 2,687
SVB FINANCIAL GROUP Corporate debt 4.10% DUE 01/30/3100 $ 366
SVB FINANCIAL GROUP Corporate debt 4.25% DUE 01/30/3100 $ 1,106
SAMMONS FINANCIAL GROUP Corporate debt 4.45% DUE 05/12/2027 $ 232
SAMMONS FINANCIAL GROUP Corporate debt 3.35% DUE 4/16/2031 $ 1,912
SAMMONS FINANCIAL GROUP Corporate debt 4.75% DUE 04/08/2032 $ 609
SANDY SPRING BANCORP INC Corporate debt 4.25% DUE 11/15/2029 $ 1,257
SANTOS FINANCE LTD Corporate debt 3.65% DUE 04/29/2031 $ 796

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SANTOS FINANCE LTD Corporate debt 3.65% DUE 4/29/2031 $
SMITHFIELD FOODS INC Corporate debt 3.00% DUE 10/15/2030 $ 37
SMITHFIELD FOODS INC Corporate debt 3.00% DUE 10/15/2030 $ 95
SMITHFIELD FOODS INC Corporate debt 3.00% DUE 10/15/2030 $ 123
SMITHFIELD FOODS INC Corporate debt 3.00% DUE 10/15/2030 $ 19
SMITHFIELD FOODS INC Corporate debt 3.00% DUE 10/15/2030 $ 94
SMITHFIELD FOODS INC Corporate debt 3.00% DUE 10/15/2030 $ 56
SMITHFIELD FOODS INC Corporate debt 2.62% DUE 9/13/2031 $ 582
SMITHFIELD FOODS INC Corporate debt 2.62% DUE 9/13/2031 $ 395
SOCIETE GENERALE Corporate debt 1.49% DUE 12/14/2026 $ 757
SOCIETE GENERALE Corporate debt 1.79% DUE 6/9/2027 $ 834
SOUTHERN COPPER CORP Corporate debt 6.75% DUE 4/16/2040 $ 84
SOUTHERN COPPER CORP Corporate debt 6.75% DUE 4/16/2040 $ 112
SOUTHERN COPPER CORP Corporate debt 6.75% DUE 4/16/2040 $ 107
SPIRIT REALTY LP Corporate debt 4.00% DUE 7/15/2029 $ 222
SPIRIT REALTY LP Corporate debt 4.00% DUE 7/15/2029 $ 414
SPIRIT REALTY LP Corporate debt 4.00% DUE 7/15/2029 $ 414
SPIRIT REALTY LP Corporate debt 4.00% DUE 7/15/2029 $ 244
SPIRIT REALTY LP Corporate debt 3.20% DUE 1/15/2027 $ 107
SPIRIT REALTY LP Corporate debt 3.20% DUE 1/15/2027 $ 338
SPIRIT REALTY LP Corporate debt 3.20% DUE 1/15/2027 $ 187
SPIRIT REALTY LP Corporate debt 3.40% DUE 1/15/2030 $ 33
SPIRIT REALTY LP Corporate debt 2.70% DUE 2/15/2032 $ 267
SPRINT CAPITAL CORP Corporate debt 6.88% DUE 11/15/2028 $ 1,352
SPRINT CAPITAL CORP Corporate debt 8.75% DUE 3/15/2032 $ 874
SPRINT CORP Corporate debt 7.62% DUE 3/1/2026 $ 1,526
SYNGENTA FINANCE NV Corporate debt 4.44% DUE 4/24/2023 $ 308
SYNGENTA FINANCE NV Corporate debt 4.44% DUE 4/24/2023 $ 140
SYNGENTA FINANCE NV Corporate debt 4.44% DUE 4/24/2023 $ 259
TPG SPECIALTY LENDING IN Corporate debt 3.88% DUE 11/1/2024 $ 1,127
TPG SPECIALTY LENDING IN Corporate debt 3.88% DUE 11/1/2024 $ 366
TARGA RESOURCES PARTNERS Corporate debt 6.88% DUE 1/15/2029 $ 271
TARGA RESOURCES PARTNERS Corporate debt 6.88% DUE 1/15/2029 $ 974
TARGA RESOURCES PARTNERS Corporate debt 6.88% DUE 1/15/2029 $ 271
TIAA REAL ESTATE CDO LTD Corporate debt 4.27% DUE 5/15/2047 $ 374
TECK RESOURCES LTD Corporate debt 6.00% DUE 8/15/2040 $ 265
TECK RESOURCES LTD Corporate debt 6.00% DUE 8/15/2040 $ 124
TEXAS ELECTRIC MKT STABL Corporate debt 5.16% DUE 2/1/2050 $ 1,460
TIME WARNER CABLE INC Corporate debt 6.75% DUE 6/15/2039 $ 167
TIME WARNER CABLE INC Corporate debt 6.75% DUE 6/15/2039 $ 120
TIME WARNER CABLE INC Corporate debt 5.88% DUE 11/15/2040 $ 87
TIME WARNER CABLE INC Corporate debt 5.88% DUE 11/15/2040 $ 87

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TIMKEN CO Corporate debt 4.50% DUE 12/15/2028 $
TORONTO DOMINION BANK Corporate debt 8.12% DUE 10/31/2082 $ 1,408
TRITON CONTAINER Corporate debt 2.05% DUE 4/15/2026 $ 1,430
UBS GROUP AG Corporate debt 4.75% DUE 5/12/2028 $ 600
UBS GROUP AG Corporate debt 4.75% DUE 5/12/2028 $ 863
UNITED AIRLINES Corporate debt 5.88% DUE 4/15/2029 $ 1,070
UNITED AIRLINES Corporate debt 4.60% DUE 9/1/2027 $ 60
UNITED MEXICAN STATES Corporate debt 4.75% DUE 3/8/2044 $ 384
UNITED MEXICAN STATES Corporate debt 4.75% DUE 3/8/2044 $ 243
UNITED MEXICAN STATES Corporate debt 4.75% DUE 3/8/2044 $ 348
UNITED MEXICAN STATES Corporate debt 4.75% DUE 3/8/2044 $ 143
UNITED MEXICAN STATES Corporate debt 4.75% DUE 3/8/2044 $ 279
VALE OVERSEAS LTD Corporate debt 6.88% DUE 11/21/2036 $ 85
VALE OVERSEAS LTD Corporate debt 6.88% DUE 11/21/2036 $ 106
VALE OVERSEAS LTD Corporate debt 6.88% DUE 11/21/2036 $ 106
VALE OVERSEAS LTD Corporate debt 6.88% DUE 11/21/2036 $ 372
VALLEY NATIONAL BANCORP Corporate debt 5.25% DUE 6/15/2030 $ 2,889
VERIZON COMMUNICATIONS Corporate debt 2.99% DUE 10/30/2056 $ 527
VERIZON COMMUNICATIONS Corporate debt 2.99% DUE 10/30/2056 $ 209
VERIZON COMMUNICATIONS Corporate debt 2.99% DUE 10/30/2056 $ 213
VIATRIS INC Corporate debt 1.65% DUE 6/22/2025 $ 664
VIATRIS INC Corporate debt 1.65% DUE 6/22/2025 $ 560
VIRGINIA ELECTRIC & POWER CO Corporate debt 8.88% DUE 11/15/2038 $ 145
VIRGINIA ELECTRIC & POWER CO Corporate debt 8.88% DUE 11/15/2038 $ 329
VIRGINIA ELECTRIC & POWER CO Corporate debt 8.88% DUE 11/15/2038 $ 264
VITERRA FINANCE BV Corporate debt 3.20% DUE 4/21/2031 $ 166
VITERRA FINANCE BV Corporate debt 3.20% DUE 4/21/2031 $ 509
VODAFONE GROUP PLC Corporate debt 5.25% DUE 5/30/2048 $ 276
VODAFONE GROUP PLC Corporate debt 5.25% DUE 5/30/2048 $ 166
VODAFONE GROUP PLC Corporate debt 5.25% DUE 5/30/2048 $ 166
VODAFONE GROUP PLC Corporate debt 5.25% DUE 5/30/2048 $ 61
WEA FINANCE LLC UK Corporate debt 3.75% DUE 9/17/2024 $ 756
WEA FINANCE LLC UK Corporate debt 3.75% DUE 9/17/2024 $ 342
WEA FINANCE LLC UK Corporate debt 3.75% DUE 9/17/2024 $ 438
WEA FINANCE LLC Corporate debt 2.88% DUE 1/15/2027 $ 769
WEA FINANCE LLC Corporate debt 2.88% DUE 1/15/2027 $ 78
WEA FINANCE LLC Corporate debt 2.88% DUE 1/15/2027 $ 150
WEA FINANCE LLC Corporate debt 2.88% DUE 1/15/2027 $ 314
WEA FINANCE LLC Corporate debt 2.88% DUE 1/15/2027 $ 80
TRADEMARK ROYALTY 2021 Corporate debt 0.01% DUE 1/31/2050 $ 3,656
TFORCE HOLDINGS INC Corporate debt 3.15% DUE 1/5/2029 $ 3,241
TFORCE HOLDINGS INC Corporate debt 3.25% DUE 1/5/2031 $ 876

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WATERS CORPORATION Corporate debt 2.25% DUE 3/3/2031 $
FIRST GAS LIMITED Corporate debt 2.32% DUE 3/23/2031 $ 3,956
HAWAIIAN ELECTRIC COMPANY Corporate debt 3.28% DUE 12/30/2040 $ 3,605
BAIN CAPITAL HOLDINGS LP Corporate debt 2.69% DUE 4/15/2033 $ 3,884
ENVASES UNIVERSALES DE MEXICO Corporate debt 3.15% DUE 2/9/2028 $ 4,468
J P MORGAN ASSET MANAGEMENT S Corporate debt 2.55% DUE 1/7/2031 $ 4,008
SENIOR UNSECURED NOTES Corporate debt 2.94% DUE 12/18/2032 $ 3,776
CENTERPOINT PROPERTIES TRUST Corporate debt 2.83% DUE 10/28/2030 $ 4,032
NATIONAL HOCKEY LEAGUE NHL Corporate debt 2.82% DUE 1/6/2026 $ 3,711
DYAL CAPITAL PARTNERS Corporate debt 3.65% DUE 2/22/2041 $ 2,136
DYAL CAPITAL PARTNERS IV Corporate debt 3.65% DUE 2/22/2041 $ 1,150
WEIR GROUP PLC THE Corporate debt 2.20% DUE 5/13/2026 $ 1,575
WESTERN & SOUTHERN LIFE Corporate debt 3.75% DUE 4/28/2061 $ 623
XSTRATA FINANCE CANADA Corporate debt 5.55% DUE 10/25/2042 $ 24
XSTRATA FINANCE CANADA Corporate debt 5.55% DUE 10/25/2042 $ 98
XSTRATA FINANCE CANADA Corporate debt 5.55% DUE 10/25/2042 $ 28
XSTRATA FINANCE CANADA Corporate debt 5.55% DUE 10/25/2042 $ 89
XSTRATA FINANCE CANADA Corporate debt 5.55% DUE 10/25/2042 $ 130
XLIT LTD Corporate debt 5.5% DUE 3/31/2045 $ 191
XLIT LTD Corporate debt 5.5% DUE 3/31/2045 $ 119
XLIT LTD Corporate debt 5.5% DUE 3/31/2045 $ 172
YARA INTERNATIONAL ASA Corporate debt 3.8% DUE 6/6/2026 $ 1,199
MIZRAHI TEFAHOT BANK LTD Corporate debt 3.08% DUE 4/7/2031 $ 1,447
BANK HAPOALIM Corporate debt 3.26% DUE 1/21/2032 $ 1,379
CHANEL LIMITED Corporate debt 2.45% DUE 10/13/2030 $ 3,746
FNMA Fed Agency 2.5% DUE 4/1/2044 $ 2,563
FNMA Fed Agency 3% DUE 1/15/2043 $ 1,536
FNMA Fed Agency 3.5% DUE 1/15/2041 $ 5,089
FNMA Fed Agency 4% DUE 4/1/2040 $ 15,620
FNMA Fed Agency 4.5% DUE 1/1/2040 $ 13,201
FNMA Fed Agency 5% DUE 1/1/2040 $ 6,582
GNMA II Fed Agency 3% DUE 12/15/2043 $ 15,594
GNMA II Fed Agency 4.5% DUE 1/23/2041 $ 3,248
5 YR US TR NOTES Futures —% DUE 4/5/2023 $ (5 )
5 YR US TR NOTES Futures —% DUE 4/5/2023 $ 38
5 YR US TR NOTES Futures —% DUE 4/5/2023 $ 3
2 YR US TR NOTES Futures —% DUE 4/5/2023 $ (8 )
20 YR US TR BONDS Futures —% DUE 3/31/2023 $ 4
20 YR US TR BONDS Futures —% DUE 3/31/2023 $ (14 )
20 YR US TR BONDS Futures —% DUE 3/31/2023 $ (112 )
20 YR US TR BONDS Futures —% DUE 3/31/2023 $ (124 )
US ULTRA T-BOND Futures 0.00% DUE 3/31/2023 $ 176

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US ULTRA T-BOND Futures 0.00% DUE 3/31/2023 $
US 10YR ULTRA FUT JUN16 Futures 0.00% DUE 3/31/2023 $ 39
US 10YR ULTRA FUT JUN16 Futures 0.00% DUE 3/31/2023 $ 51
FHLMC Mortgage Backed 0.03% DUE 3/1/2052 $ 2,241
FHLMC Mortgage Backed 0.04% DUE 8/1/2052 $ 3,919
FHLMC Mortgage Backed 0.04% DUE 9/1/2052 $ 2,441
FHLMC Mortgage Backed 0.02% DUE 12/1/2050 $ 978
FHLMC Mortgage Backed 0.02% DUE 1/1/2051 $ 2,046
FHLMC Mortgage Backed 0.03% DUE 7/1/2051 $ 5,378
FHLMC Mortgage Backed 0.03% DUE 7/1/2051 $ 5,354
FNMA Mortgage Backed 0.05% DUE 6/1/2048 $ 575
FNMA Mortgage Backed 0.04% DUE 6/1/2050 $ 2,358
FNMA Mortgage Backed 0.03% DUE 4/1/2052 $ 3,438
FNMA Mortgage Backed 0.03% DUE 4/1/2052 $ 4,078
FNMA Mortgage Backed 0.04% DUE 6/1/2052 $ 7,008
FNMA Mortgage Backed 0.05% DUE 6/1/2052 $ 4,956
FNMA Mortgage Backed 0.05% DUE 7/1/2052 $ 4,145
FNMA Mortgage Backed 0.04% DUE 08/01/2050 $ 74
FNMA Mortgage Backed 0.03% DUE 09/01/2051 $ 1,192
FNMA Mortgage Backed 0.03% DUE 10/01/2051 $ 3,363
FNMA Mortgage Backed 0.03% DUE 10/01/2051 $ 2,473
FNMA Mortgage Backed 0.03% DUE 03/01/2052 $ 2,280
FNMA Mortgage Backed 0.03% DUE 04/01/2052 $ 6,248
FNMA Mortgage Backed 0.04% DUE 02/01/2043 $ 2,258
FNMA Mortgage Backed 0.03% DUE 06/01/2032 $ 363
FNMA Mortgage Backed 3.00% DUE 8/1/2032 $ 150
FNMA Mortgage Backed 3.50% DUE 12/1/2047 $ 2,158
FNMA Mortgage Backed 5.00% DUE 6/1/2048 $ 174
GNMA II Mortgage Backed 3.50% DUE 3/20/2047 $ 1,925
GNMA II Mortgage Backed 3.00% DUE 11/20/2049 $ 2,310
GNMA II Mortgage Backed 3.00% DUE 7/20/2049 $ 1,289
GNMA II Mortgage Backed 3.00% DUE 1/20/2050 $ 2,385
CALIFORNIA STATE Municipals 7.55% DUE 4/1/2039 $ 253
LOUISIANA ST LOCAL GOVT ENVRNM Municipals 4.47% DUE 8/1/2039 $ 1,489
NEW YORK ST DORM AUTH ST PERSO Municipals 3.19% DUE 2/15/2043 $ 149
NORTHSTAR EDU FIN INC DE Municipals 4.65% DUE 4/1/2042 $ 1,575
BCM SWAPTION Options 2.94% DUE 12/13/2032 $ 917
BCM SWAPTION Options 2.44% DUE 12/13/2032 $ 84
BCM SWAPTION Options 2.62% DUE 1/31/2033 $ 105
BCM SWAPTION Options 3.12% DUE 1/31/2033 $ 919
SELECTIVE INSURANCE GROU Preferred Stock —% DUE 1/31/3100 $ 1,025
STATE STREET STIF Sweep Investment —% DUE N/A $ 2,543

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STATE STREET STIF Sweep Investment —% DUE N/A $
STATE STREET STIF Sweep Investment —% DUE N/A $ 1,559
US TREASURY N B US Govt Bonds 2.25% DUE 8/15/2049 $ 992
US TREASURY N B US Govt Bonds 2.25% DUE 8/15/2049 $ 1,808
OTHER ASSETS $ (58,015 )
TOTAL MASSMUTUAL STABLE VALUE $ 578,034
• NOTES RECEIVABLE FROM PARTICIPANTS Participant Loans 2.36% to 9.75% Maturities through 2050 $ 146,070
• Indicates party-in-interest to the plan. All investments are participant directed; therefore, cost value has been omitted.

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Required Information

Financial statements and schedules for the Cigna 401(k) Plan, prepared in accordance with the financial reporting requirements of the Employee Retirement Income Security Act of 1974, are contained in this Annual Report on Form 11-K.

Exhibits

Exhibits are listed in the Index to Exhibits.

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SIGNATURE

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.

Date: June 29, 2023

Cigna 401(k) PLAN
By: /s/ Jill Vaslow
Jill Vaslow
Plan Administrator

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Index to Exhibits

Number Description Method of Filing
23 Consent of Independent Registered Public Accounting Firm Filed herewith

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59

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