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DOW INC. Annual Report 2019

Jun 28, 2019

30381_rns_2019-06-28_c29feac0-6ba0-4989-a959-76bdc5db8961.zip

Annual Report

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11-K 1 dow201811k.htm 11-K THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN html PUBLIC "-//W3C//DTD HTML 4.01 Transitional//EN" "http://www.w3.org/TR/html4/loose.dtd" Document created using Wdesk 1 Copyright 2019 Workiva Document

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 11-K

(Mark One)

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

For the fiscal year ended December 31, 2018

OR

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

For the transition period from to

Commission file number: 001-38646

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

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN

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

Dow Inc.

2211 H.H. Dow Way

Midland, MI 48674

(989) 636-1000

DuPont de Nemours, Inc. (formerly known as DowDuPont Inc.)

c/o The Dow Chemical Company

2030 Dow Center

Midland, MI 48674

(989) 636-1000

(Former name or former address, if changed since last report)

REQUIRED INFORMATION

Financial statements for the years ended December 31, 2018 and 2017 , supplemental schedule for the year ended December 31, 2018 , and Report of Independent Registered Public Accounting Firm.

The Dow Chemical

Company Employees'

Savings Plan

Financial Statements as of and for the Years Ended

December 31, 2018 and 2017 and Supplemental

Schedule for the Year Ended December 31, 2018

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN

TABLE OF CONTENTS

Page
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM - BDO USA, LLP 1
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM - PLANTE & MORAN, PLLC 2
FINANCIAL STATEMENTS
Statements of Net Assets Available for Benefits as of December 31, 2018 and 2017 3
Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2018 4
Notes to Financial Statements as of December 31, 2018 and 2017, and for the Year Ended December 31, 2018 5
SUPPLEMENTAL SCHEDULE
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) as of December 31, 2018 13
APPENDICES 16
EXHIBIT INDEX 48
SIGNATURES 49

Report of Independent Registered Public Accounting Firm

Plan Committee and Plan Participants

The Dow Chemical Company Employees’ Savings Plan

Midland, Michigan

Opinion on the Financial Statements

We have audited the accompanying statement of net assets available for benefits of The Dow Chemical Company Employees’ Savings Plan (the “Plan”) as of December 31, 2018, the related statement of changes in net assets available for benefits for the year then ended and the related notes (collectively, 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, 2018 and the changes in net assets available for benefits for the year then ended, in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on the Plan’s financial statements based on our audit. 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 audit 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. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audit we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion.

Our audit included performing procedures to assess the risk 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 audit also included evaluating the accounting principles used and significant estimates made by the Plan’s management, as well as evaluating the overall presentation of the financial statements. We believe that our audit provides a reasonable basis for our opinion.

Supplemental Information

The supplemental information in the accompanying Schedule of Assets Held at the End of Year as of December 31, 2018 has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental information is presented for the purpose of additional analysis and is not a required part of the financial statements but included supplemental information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental information is the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental information 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 information. In forming our opinion on the supplemental information, we evaluated whether the supplemental information, 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 information is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ BDO USA, LLP

BDO USA, LLP

Grand Rapids, Michigan

June 28, 2019

We have served as the Plan’s auditor since 2019.

1

Report of Independent Registered Public Accounting Firm

To the Plan Administrator and Plan Participants

The Dow Chemical Company Employees’ Savings Plan

Opinion on the Financial Statements

We have audited the accompanying statement of net assets available for benefits of The Dow Chemical Company Employees’ Savings Plan (the “Plan”) as of December 31, 2017 and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the net assets of the Plan as of December 31, 2017 in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

The Plan’s management is responsible for these financial statements. Our responsibility is to express an opinion on the Plan’s financial statements based on our audit. 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 audit 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. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audit we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion.

Our audit 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 audit 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 audit provide a reasonable basis for our opinion.

/s/ PLANTE & MORAN, PLLC

Plante & Moran, PLLC

Flint, Michigan

June 26, 2018

We served as the Plan’s auditor from 2010 through 2018.

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THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS

AS OF DECEMBER 31, 2018 and 2017

2018 — Allocated Participant Directed Unallocated Non-participant Directed Total 2017 — Allocated Participant Directed Unallocated Non-participant Directed Total
Assets
Investments - at fair value (Notes 3 and 4) $ 8,315,896,596 $ 350,275,026 $ 8,666,171,622 $ 9,468,123,830 $ 727,199,386 $ 10,195,323,216
Fully benefit-responsive investment contracts - at contract value 2,024,506,428 2,024,506,428 2,160,384,796 2,160,384,796
Receivables - interest, dividends and other 7,948,721 1,631 7,950,352 4,073,137 3,693 4,076,830
Receivables - participant notes 113,531,034 113,531,034 114,458,502 114,458,502
Total Assets $ 10,461,882,779 $ 350,276,657 $ 10,812,159,436 $ 11,747,040,265 $ 727,203,079 $ 12,474,243,344
Liabilities
LESOP loan payable (Note 5) $ — $ 25,673,299 $ 25,673,299 $ — $ 39,129,934 $ 39,129,934
Other payables 4,952,913 1,240,196 6,193,109 4,393,126 1,890,244 6,283,370
Total Liabilities $ 4,952,913 $ 26,913,495 $ 31,866,408 $ 4,393,126 $ 41,020,178 $ 45,413,304
Net Assets Available For Benefits $ 10,456,929,866 $ 323,363,162 $ 10,780,293,028 $ 11,742,647,139 $ 686,182,901 $ 12,428,830,040

See Notes to Financial Statements.

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THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN

STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS

FOR THE YEAR ENDED DECEMBER 31, 2018

Allocated Participant Directed Unallocated Non- Participant Directed Total
Additions
Investment income (loss)
Net realized/unrealized loss on investments $ (1,020,756,198 ) $ (123,990,381 ) $ (1,144,746,579 )
Interest and dividends 158,402,928 11,795,448 170,198,376
Total investment loss (862,353,270 ) (112,194,933 ) (974,548,203 )
Employer contributions 501,217 501,217
Employee contributions 289,017,379 289,017,379
Interest on participant notes receivable 4,575,842 4,575,842
Allocation of 3,611,043 shares of common stock of DowDuPont Inc., at market 247,718,466 247,718,466
Total additions $ (320,540,366 ) $ (112,194,933 ) $ (432,735,299 )
Deductions
Distributions and withdrawals $ 960,363,428 $ — $ 960,363,428
Administrative expenses 1,632,780 1,632,780
Interest expense 2,906,340 2,906,340
Allocation of 3,611,043 shares of common stock of DowDuPont Inc., at market 247,718,466 247,718,466
Total deductions $ 961,996,208 $ 250,624,806 $ 1,212,621,014
Net decrease $ (1,282,536,574 ) $ (362,819,739 ) $ (1,645,356,313 )
Transfers in 651,634 651,634
Transfers out (3,832,333 ) (3,832,333 )
Net Assets Available for Benefits
Beginning of year 11,742,647,139 686,182,901 12,428,830,040
End of year $ 10,456,929,866 $ 323,363,162 $ 10,780,293,028

See Notes to Financial Statements.

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THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN

NOTES TO FINANCIAL STATEMENTS

  1. DESCRIPTION OF THE PLAN

The following description of The Dow Chemical Company Employees' Savings Plan (the “Plan”) provides only general information. Participants should refer to the plan document or Summary Plan Description for the legal description of the Plan's provisions.

General - The Plan is a defined contribution plan consisting of (1) a profit sharing plan with a cash or deferred feature which is intended to qualify under Sections 401(a) and 401(k) of the Internal Revenue Code as of 1986, as amended (“Code”) and (2) a leveraged employee stock ownership plan (“LESOP”) which is intended to qualify as a stock bonus plan under Sections 401(a) and 4975(e)(7). The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 ("ERISA"), as amended. The Plan covers any person who is, or becomes, a regular employee of The Dow Chemical Company (the "Company" or “TDCC”), or of certain of TDCC's subsidiaries, including former employees with balances in the Plan, subject to certain eligibility service requirements for part-time employees.

Merger - Effective August 31, 2017, pursuant to the merger of equals transaction contemplated by the Agreement and Plan of Merger, dated as of December 11, 2015, as amended on March 31, 2017, TDCC and E. I. du Pont de Nemours and Company ("Historical DuPont") each merged with subsidiaries of DowDuPont Inc. ("DowDuPont") and, as a result, TDCC and Historical DuPont became subsidiaries of DowDuPont (the "Merger"). TDCC and Historical DuPont did not merge their defined contribution plans as a result of the Merger. See Note 7 for additional information.

Employee Contributions - Plan participants generally may elect to contribute from 0.5% to 40% of their compensation, depending on the participant's eligible pay, limited to a 0.5% minimum contribution. The maximum yearly gross compensation pre-tax or Roth 401(k) contribution made through payroll deductions was $18,500 in 2018 . Participants who attained age 50 before the end of the plan year were eligible to make additional catch-up contributions in the amount of $6,000 in 2018 . Plan participants may elect to increase, decrease, suspend, or resume compensation deferrals at any time. New elections are effective as soon as practicable after the request is processed. Newly hired eligible employees not electing to enroll (within 60 days of being hired) are automatically enrolled to contribute 3% of their eligible pay to the Plan, unless the employee elects to opt out. The automatic contributions will increase by 1% each year effective April 1 until the contribution rate reaches 6%, unless the employee designates otherwise. The contributions default to the applicable BTC Lifepath Fund based on the employee's date of birth, unless otherwise designated by the employee. Effective January 1, 2019, the Plan was amended to automatically enroll newly hired eligible employees to contribute 6% of their eligible pay to the Plan, with annual 1% increases each April 1 until the contribution rate reaches 10%, unless otherwise designated by the employee.

Company Contributions - In general, the Company's matching contribution provides a 100% match on the first 2% of eligible pay deferrals and a 50% match of the next 4% of eligible pay deferrals. Legacy Rohm and Haas Company employees' Company matching contributions are calculated as 100% of the first 3% of eligible pay deferrals and a 50% match of the next 3% of eligible pay deferrals. For legacy Dow Silicones Corporation employees hired prior to January 1, 2006, the Company's matching contribution provides a 100% match on the first 3% of eligible pay deferrals and 50% on the next 2% of eligible pay deferrals; and for those hired on and after January 1, 2006 and prior to September 1, 2016, the Company's matching contribution provides a 100% match on the first 3% of eligible pay deferrals and 50% on the next 4% of eligible pay deferrals. During 2018, the Company's matching contribution was made from the LESOP in the form of DowDuPont stock. Employees were permitted to divest their DowDuPont stock at any time and elect one of the other investment options available to them under the Plan. See Note 7 for additional information.

In accordance with the provisions of the Plan, the Plan is required to release shares in proportion to the principal and interest paid on the LESOP loan as a percentage of beginning of year outstanding principal and interest. The shares released from unallocated LESOP shares are allocated to participants to satisfy the Company's matching requirements.

Except as otherwise provided by the Plan, if the required contributions are less than the value of shares released, the difference is allocated to eligible participants in the form of contingent matching contributions, and then to eligible participants, as an “Excess Employee Stock Ownership Program ("ESOP") Shares Distribution” contribution. For the year ended December 31, 2018 , the total number of shares allocated as contingent matching contributions and Excess ESOP Shares Distribution contributions amounted to 1,412,383 shares of DowDuPont common stock, with a market value of $75,534,260 . The Company allocated these shares to the participants in March 2019 .

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If the required Company matching contributions under the provisions of the Plan are greater than the value of the shares released, the Company is required to make an additional contribution to cover the shortfall. No such Company contributions were required or made for the year ended December 31, 2018 .

Dividends - Participants invested in DowDuPont stock funds may elect to receive dividends as a distribution rather than reinvesting dividends within the participant account. See Note 7 for additional information.

Account Valuation - Participant account balances reflect the total contributions made to the Plan by employees and the Company, plus investment results, less expenses and withdrawals.

Vesting - Participants are immediately vested in all amounts credited to their plan account, including employee contributions, Company contributions, and investment earnings.

Benefits Distribution - Benefits are generally distributable upon termination of employment as a lump-sum payment or partial withdrawal or may be deferred until minimum distributions are required by law. The plan makes a lump-sum payment to terminated participants who have a balance that does not exceed $1,000. Active employees may request in-service distributions upon the attainment of age 59-1/2. Active employees under the age of 59-1/2 may request a distribution in the event of a financial hardship as defined by the Plan.

Participant Notes Receivable - Active participants, retirees and terminated participants may borrow from their employee contributions, plus earnings on those contributions, with a minimum note receivable of $1,000. Participant notes receivable are limited to the smaller of:

• 50% of the total account balance or

• $50,000 less the highest outstanding participant note receivable balance in the preceding 12 months

Note receivable repayments for active employees are made through payroll deductions, on an after tax basis, with a minimum term of six months and a maximum of 60 months for any purpose other than the purchase of a primary residence; and a minimum term of six months and a maximum of 120 months for participant note receivable for the purpose of purchasing a primary residence. Repayments, both interest and principal, are credited to the participant's account and are allocated among the fund options according to the participant's current investment election. A fixed interest rate is applied to the note receivable. This rate is generally equal to the prime rate on the last day of each calendar quarter before the loan is processed. The range of interest rates on notes receivable outstanding at December 31, 2018 and 2017 was 3.25% to 10.5% .

Investments - Participants direct the investment of their contributions into various investment options offered by the Plan.

Related Party and Party-In-Interest Transactions - Administrative expenses of the trustee are charged to the Plan. The net assets of the Plan are held by Fidelity Management Trust Company (“Fidelity”), who acts as independent trustee, custodian and recordkeeper for all the investments in the Plan. Fidelity manages certain plan investments. All transactions with Fidelity qualify as party-in-interest transactions.

Plan investments include shares of common stock of TDCC's parent company as of December 31, 2018, DowDuPont Inc., and the Plan holds notes receivable from Plan participants. See Note 7 for additional information.

The Plan has a loan outstanding with Dorintal Reinsurance, Ltd., a related party. See Note 5 for additional information.

Amendment or Termination - The Plan does not have an expiration date. The Company may at any time terminate, amend, or modify the Plan, subject to certain rights of the Plan participants. Upon termination of the Plan, each participant is entitled to receive the entire balance in his or her account in accordance with the terms of the Plan.

  1. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

Basis of Accounting - The financial statements of the Plan have been prepared on the accrual basis of accounting in accordance with accounting principles generally accepted in the United States of America.

Use of Estimates - The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of net assets

6

available for benefits and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of changes in net assets available for benefits during the reporting period. Actual results could differ from those estimates.

Investment Valuation and Income Recognition - Investments in the Plan consisting of common stock of DowDuPont, mutual funds, certain money market funds and common stock are stated at fair value based upon the quoted market value of such securities at year end. The investments in common/collective trusts are valued at net asset value per share (or its equivalent) of the fund, based on the fair market values of the underlying net assets. There are no redemption restrictions or unfunded commitments on these investments. Temporary investments are investments in short‑term money market funds in the respective investment funds. Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Net appreciation (depreciation) in the fair value of investments includes the Plan's gains and losses on investments bought and sold as well as held during the year.

Investments of the Interest Income Fund (“Fund”) included in the Plan consist of Synthetic Guaranteed Investment Contracts (“Synthetic GICs”), a money market fund, and a common collective trust fund. All of the Plan's Synthetic GICs are fully benefit-responsive and are recorded at contract value. Contract value is the amount participants would normally receive if they were to initiate permitted transactions under the terms of the Plan. Contract value represents deposits made to the contract plus earnings at guaranteed crediting rates less withdrawals and applicable fees. Synthetic GICs operate similarly to an insurance company separate account investment contract, except that the assets are placed in a separate custodial account (owned by the Plan) rather than such assets being held in a separate account of the insurance company. A Synthetic GIC is a wrap contract paired with an underlying investment or investments, usually a portfolio, owned by the Plan, of high-quality, intermediate term fixed income securities or common/collective trusts holding similar investments. The Plan purchases a wrapper contract from financial services institutions.

In addition to holding certain assets, Synthetic GICs include features designed to provide participant liquidity at book value as well as periodic interest crediting rates. The liquidity feature is also known as “benefit responsiveness.” Synthetic GICs may be issued by banks, insurance companies and other financial institutions.

The Synthetic GICs provide for prospective crediting interest rate adjustments based on the interest earnings and fair value of the underlying assets. The crediting interest rates are reset monthly and the contracts guarantee that the crediting interest rates cannot be less than zero.

Certain events may limit the ability of the Plan to transact at contract value with the insurance company and the financial institution issuer. Such events include the following: (i) amendments to the plan documents (including complete or partial plan termination or merger with another plan); (ii) changes to the Plan's prohibition on competing investment options or deletion of equity wash provisions; (iii) bankruptcy of the plan sponsor or other plan sponsor events (e.g., divestitures or spin offs of a subsidiary) which cause a significant withdrawal from the Plan; or (iv) the failure of the Plan to qualify for exemption from federal income taxes or any required exemption of prohibited transaction under ERISA. The plan administrator does not believe that the occurrence of any such event that may limit the Plan's ability to transact at contract value is probable.

Synthetic GICs generally impose conditions on both the Plan and the issuer. If an event of default occurs and is not resolved, the non-defaulting party may terminate the contract. The following may cause the Plan to be in default: a breach of material obligation under the contract; a material misrepresentation; or a material amendment to the plan agreement. The issuer may be in default if it breaches a material obligation under the investment contract; makes a material misrepresentation; or is acquired or reorganized and the successor issuer does not satisfy the investment or credit guidelines applicable to issuers. If, in the event of default of an issuer, the Plan were unable to obtain a replacement investment contract, losses may occur if the market value of the Plan's assets, which were covered by the contract, is below the contract value. The Plan may seek to add additional issuers over time to diversify the Plan's exposure to such risk, but there is no assurance the Plan may be able to do so. The combination of the default of an issuer and an inability to obtain a replacement agreement could render the Plan unable to achieve its objective of maintaining a stable contract value. The terms of an investment contract generally provide for settlement of payments only upon termination of the contract or total liquidation of the covered investments. Generally, payments will be made pro rata, based on the percentage of investments covered by each issuer. Contract termination occurs whenever the contract value or market value of the covered investments reaches zero or upon certain events of default.

If the contract terminates due to issuer default (other than a default occurring because of a decline in its rating), the issuer will generally be required to pay to the Plan the excess, if any, of contract value over market value on the date of termination. If a contract terminates due to a decline in the ratings of the issuer, the issuer may be required to pay to the Plan the cost of acquiring a replacement contract (i.e., replacement cost) within the meaning of the contract. If the contract terminates when the market value equals zero, the issuer will pay the excess of contract value over market value to the Plan to the extent necessary for the Plan to

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satisfy outstanding contract value withdrawal requests. Contract termination also may occur by either party upon election and notice.

Changes in fixed income market conditions and interest rates may affect the yield to maturity and the market value of the underlying investments. Such changes could have a material impact on the Synthetic GIC's future interest crediting rates. In addition, participant withdrawals from and transfers out of the Interest Income Fund made according to Plan provisions are paid at contract value but funded through the market value liquidation of the underlying investments. This process of funding participant withdrawals and transfers from market value liquidations of underlying investments may also have an effect on future interest crediting rates.

Participant Notes Receivable - Participant notes receivable are recorded at their unpaid principal balances plus any accrued interest. Participant notes receivable are written off when deemed uncollectible.

Benefits Payable - Amounts payable to persons who have withdrawn from participation are not recorded as a liability of the Plan. Benefits payable to participants who had withdrawn from participation in the Plan as of December 31, 2018 and 2017 were insignificant.

Federal Income Tax Status - The Internal Revenue Service has determined and informed the Company by a letter dated September 2, 2014 that the Plan is qualified and the trust established under the Plan is tax exempt under the appropriate sections of the Internal Revenue Code (the “Code”). Although the Plan has been amended since receiving the determination letter, the plan administrator believes the Plan is designed and is currently being operated in compliance with the applicable requirements of the Code.

In accordance with guidance on accounting for uncertainty in income taxes, management evaluated the Plan's tax position and does not believe the Plan has any uncertain tax positions that require disclosure or adjustment to the financial statements. The Plan is subject to routine audits by taxing authorities; however, there are currently no audits for any tax periods in progress.

Risks and Uncertainties - The Plan invests in various investment instruments, including shares of the common stock of DowDuPont. Investment securities, in general, are exposed to various risks, such as interest rate, credit and overall market volatility. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect the amounts reported in the financial statements.

  1. LEVERAGED EMPLOYEE STOCK OWNERSHIP PLAN INVESTMENTS

The Plan's investment in The Dow Chemical Company LESOP, at December 31, 2018 and 2017 , is presented in the following table:

2018 — Allocated Unallocated 2017 — Allocated Unallocated
Shares of DowDuPont Common Stock 15,286,397 6,527,850 15,491,810 10,138,893
Cost $ 71,914,375 $ 134,156,362 $ 74,895,954 $ 188,524,586
Fair Value $ 817,516,512 $ 349,109,418 $ 1,103,326,708 $ 722,091,959
  1. FAIR VALUE

Accounting standards require certain assets and liabilities be reported at fair value in the financial statements and provide a framework for establishing that fair value. The framework for determining fair value is based on a hierarchy that prioritizes the inputs and valuation techniques used to measure fair value.

For investments classified as Level 1 (measured using quoted prices in active markets), the total fair value is either the price of the most recent trade at the time of the market close or the official close price as defined by the exchange in which the asset is most actively traded on the last trading day of the period, multiplied by the number of units held without consideration of transaction costs.

For investments classified as Level 2 (measured using significant other observable inputs), where the Level 1 process is not available, the underlying assets are valued based on the price a dealer would pay for the security or similar securities, adjusted for

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any terms specific to that security. Market inputs are obtained from well established and recognized vendors of market data and placed through tolerance/quality checks.

For investments classified as Level 3, the total fair value is based on significant unobservable inputs including assumptions where there is little, if any, market activity for the investment.

The investment's fair value level within the fair value hierarchy is based on the lowest level of any input that is significant to the fair value measurement.

The following table presents information about certain assets of the Plan measured at fair value on a recurring basis.

Assets Measured at Fair Value on a Recurring Basis December 31, 2018 — Total Level 1 December 31, 2017 — Total Level 1
DowDuPont Inc. Common Stock:
Allocated participant directed $ 1,715,552,832 $ 1,715,552,832 $ 2,263,079,811 $ 2,263,079,811
Unallocated non-participant directed 349,109,418 349,109,418 722,091,959 722,091,959
Common stock 30,217,099 30,217,099 33,004,235 33,004,235
Mutual funds 1,455,450,162 1,455,450,162 1,592,970,412 1,592,970,412
Temporary investments - Money market funds: 1
Allocated participant directed 91,270,469 91,270,469 74,071,704 74,071,704
Unallocated non-participant directed 1,165,608 1,165,608 5,107,427 5,107,427
Total categorized assets at fair value $ 3,642,765,588 $ 3,642,765,588 $ 4,690,325,548 $ 4,690,325,548
Fair value measured at net asset value per share: 2
Common/collective trusts 5,023,406,034 5,504,997,668
Total assets at fair value $ 8,666,171,622 $ 10,195,323,216
  1. The Plan sponsor reviewed the Plan's temporary investments and determined such investments are valued using quoted prices in active markets. Prior period amounts were updated to conform with the current year presentation.

  2. Investments in common/collective trusts are measured at fair value using the net asset value per share (or its equivalent) as a practical expedient and have not been categorized in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the statements of net assets available for benefits.

The Plan's policy is to recognize transfers between levels of the fair value hierarchy as of the actual date of the event of change in circumstances that caused the transfer. There were no significant transfers between levels of the fair value hierarchy during 2018 .

  1. LEVERAGED EMPLOYEE STOCK OWNERSHIP PLAN AND LOAN PAYABLE

The Plan consists of a profit sharing plan with a cash or deferred feature which is intended to qualify under Sections 401(a) and 401(k) of the Code and an ESOP that is intended to qualify (as a stock bonus plan) under Sections 401(a) and 4975(e)(7) of the Code. The ESOP consists of (i) a leveraged employee stock ownership plan ("LESOP"), and (ii) the DowDuPont stock funds. The LESOP includes (i) the assets of the Suspense Account and (ii) a LESOP Stock Fund which (A) shall consist of shares of DowDuPont common stock acquired with the proceeds of exempt loans, and allocated to participant accounts, and (B) shall provide for such subaccounts as described in the definition of “LESOP Account” in Section 1.3 in the Plan and as further necessary. The portion of the Plan invested in the DowDuPont stock funds constitutes part of the employee stock ownership plan under Section 4975(e)(7) of the Code. The Trustee or its nominee votes all unallocated shares under the LESOP. See Note 7 for additional information.

The Plan has a loan outstanding with Dorintal Reinsurance, Ltd., a related party. At December 31, 2017 , the loan bore interest at 10.03% and was scheduled to mature in 2020. The loan was refinanced in December 2018 and currently bears interest at 4% and matures in 2024. The Plan uses dividends paid on unallocated shares of DowDuPont common stock to make the scheduled quarterly principal and interest payments. If needed, the Plan may use dividends paid on allocated shares of DowDuPont common stock to make these scheduled payments. Dividends from allocated shares were used to pay principal and interest in 2018 . These dividends were replaced by an equal value of shares released in accordance with the release fraction. The Company is required to make a cash contribution to fund any quarterly shortages in common stock dividends paid as compared to required principal and interest payments. There was no shortfall and no Company cash contribution for the year ended December 31, 2018 . DowDuPont declared common stock dividends of $1.52 per share during 2018 . See Note 7 for additional information.

9

Interest expense for the year ended December 31, 2018 is $2,906,340 . The minimum principal payments on the refinanced loan to maturity are as follows:

Minimum Loan Principal Payment to Maturity
2019 $ 4,485,698
2020 4,667,836
2021 4,857,368
2022 5,054,596
2023 5,259,834
Thereafter 1,347,967
Total $ 25,673,299
  1. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500

The following is a reconciliation of net assets available for benefits per the financial statements to Form 5500 as of December 31, 2018 and 2017 :

Reconciliation of Net Assets Available for Benefits per the Financial Statements to Form 5500 at December 31, 2018 2017
Net Assets Available for Benefits per the Financial Statements $ 10,780,293,028 $ 12,428,830,040
Adjustment from Contract Value to Fair Value for Fully Benefit-responsive Synthetic GICs (13,747,381 ) 16,499,744
Net Assets Available for Benefits per Form 5500 $ 10,766,545,647 $ 12,445,329,784

For the year ended December 31, 2018 , the following is a reconciliation of total investment loss per the financial statements to Form 5500:

Reconciliation of Net Decrease in Net Assets Available for Benefits per the Financial Statements to Form 5500 for 2018 — Net decrease in net assets available for benefits per the financial statements $ (1,645,356,313 )
Adjustment from contract value to fair value for fully benefit-responsive synthetic GICs (30,247,125 )
Net income (loss) per Form 5500 $ (1,675,603,438 )
  1. SUBSEQUENT EVENTS

After the Merger as discussed in this annual report, DowDuPont announced its intent to pursue, subject to the receipt of approval by the Board of Directors of DowDuPont and customary closing conditions, the separation of its agriculture business, specialty products business and materials science business through a series of tax efficient transactions. As a result of these transactions, DowDuPont formed two wholly-owned subsidiaries: Dow Inc., to serve as a holding company for its materials science business, and Corteva, Inc., to serve as a holding company for its agriculture business.

On April 1, 2019, DowDuPont completed the distribution of Dow Inc. ("Dow Inc. Distribution"). Additionally, Dow Inc. commenced trading under the symbol “DOW” on the New York Stock Exchange on April 2, 2019. Fund unit trading for the Plan commenced on April 4, 2019. Prior to the commencement of unit trading on April 4, 2019, participants in the Plan who held DowDuPont stock fund units as of the close of business on March 29, 2019 received one unit of Dow Inc. stock funds for every three units of DowDuPont stock funds. No fractional units of Dow Inc. stock funds were issued. Instead, cash in lieu of any fractional units was paid and invested in the Plan money market fund. The DowDuPont common stock funds are closed to new investments within the Plan. Effective April 1, 2019, participants may elect to receive Dow Inc. stock fund dividends as a distribution rather than reinvesting dividends within the participant accounts and DowDuPont stock fund dividends are no longer eligible for distribution to participants.

10

As a result of the Dow Inc. Distribution, the LESOP stock funds held both Dow Inc. common stock and DowDuPont common stock. Additionally, the Company continued to be the sponsor of the Plan and was no longer a part of the DowDuPont controlled group, and DowDuPont common stock ceased to be an employer security with respect to the Plan under Section 407 of ERISA. Consequently, all DowDuPont common stock was sold and the proceeds were reinvested in Dow Inc. common stock. Future scheduled quarterly principal and interest payments on the loan outstanding with Dorintal Reinsurance, Ltd., will be made using dividends paid on unallocated shares of Dow Inc. common stock and allocated shares of Dow Inc. common stock, if needed. Additionally, Company matching contributions following April 1, 2019 are made from the LESOP in the form of Dow Inc. stock.

On June 1, 2019, DowDuPont completed the distribution of Corteva, Inc. (“Corteva, Inc. Distribution”). Additionally, Corteva, Inc. commenced trading under the symbol “CTVA” on the New York Stock Exchange on June 3, 2019. Fund unit trading for the Plan commenced on June 5, 2019. Prior to the commencement of unit trading on June 5, 2019, participants in the Plan who held DowDuPont stock fund units as of the close of business on May 31, 2019 received one unit of Corteva, Inc. stock funds for every three units of DowDuPont stock funds. No fractional units of Corteva, Inc. stock funds were issued. Instead, cash in lieu of any fractional units was paid to and invested in the Plan money market fund. The Corteva, Inc. stock funds are closed to new investments within the Plan. Following the Corteva, Inc. Distribution, DowDuPont continues to hold the specialty products business and changed its registered name from "DowDuPont Inc." to "DuPont de Nemours, Inc." ("DuPont"). The DowDuPont stock funds held in the account as of the close of business on May 31, 2019 were renamed DuPont stock funds and commenced trading on June 5, 2019.

Employees may divest their DowDuPont (now DuPont), Dow Inc., and Corteva, Inc. stock funds at any time and elect one of the other investment options available to them under the Plan.

In connection with the Dow Inc. Distribution and the Corteva, Inc. Distribution, DowDuPont, Dow Inc., and Corteva, Inc. entered into an employee matters agreement, effective as of April 1, 2019 (“Employee Matters Agreement”). The Employee Matters Agreement sets forth, among other matters that, as a result of the Dow Inc. Distribution, Plan participants aligned with DowDuPont’s agriculture business and specialty products business ceased contributions to the Plan. Additionally, Dow Inc. employees previously aligned with Historical DuPont’s material science business were allowed to enter the Plan as new participants when those entities formally adopted the Plan as of April 1, 2019. No Plan assets were transferred to or from the Plan as a result of the Dow Inc. Distribution. At the participant’s discretion, their assets in former plans can be rolled into the Plan.

11

SUPPLEMENTAL SCHEDULE

12

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY
EMPLOYER IDENTIFICATION NO. 38-1285128
PLAN NO. 002
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
INCLUDING APPENDICES A - E
AS OF DECEMBER 31, 2018
(c)
Description of Investment
(b) Including Maturity Date, (d) (e)
Identity of Issuer, Borrower, Rate of Interest, Collateral, Cost or Contract Current
(a) Lessor, or Similar Party Par, or Maturity Value Value Value
* DowDuPont Inc.:
DowDuPont Stock DowDuPont Stock ** $ 898,036,320
LESOP Allocated LESOP - DowDuPont Stock ** 817,516,512
LESOP Unallocated LESOP - DowDuPont Stock $ 134,156,362 349,109,418
Lilly Pre 91 Stock Common Stock ** 2,729,256
Lilly Post 90 Stock Common Stock ** 7,251,015
Linde Stock Fund Common Stock ** 20,236,828
T. Rowe Price US Treasury Fund Common/Collective Trust ** 102,702,665
PIM Total Return Inst Mutual Fund ** 184,629,412
TRP IS MID CP EQ GR Mutual Fund ** 461,309,289
NB Genesis R6 Mutual Fund ** 218,928,263
TRP High Yield Inst Mutual Fund ** 125,142,801
BTC LP IDX RETIRE N Common/Collective Trust ** 125,097,813
BTC LP IDX 2020 N Common/Collective Trust ** 240,071,291
BTC LP IDX 2025 N Common/Collective Trust ** 285,838,082
BTC LP IDX 2030 N Common/Collective Trust ** 266,656,486
BTC LP IDX 2035 N Common/Collective Trust ** 179,923,905
BTC LP IDX 2040 N Common/Collective Trust ** 140,971,548
BTC LP IDX 2045 N Common/Collective Trust ** 122,535,340
BTC LP IDX 2050 N Common/Collective Trust ** 99,199,625
BTC LP IDX 2055 N Common/Collective Trust ** 90,017,136
BTC LP IDX 2060 N Common/Collective Trust ** 5,289,655
ACWI ex-US IMI Index Common/Collective Trust ** 185,781,067
American Century U.S. Real Estate Securities Trust Common/Collective Trust ** 70,563,353
Vang Inst 500 IDX TR Common/Collective Trust ** 1,480,733,411
Vang Inst Ext Mkt Common/Collective Trust ** 375,849,437
Vang Inst Tot Bd IDX Common/Collective Trust ** 167,740,075
Vang Global Equity Mutual Fund ** 193,369,788
Vang Dev Mkt IDX IP Mutual Fund ** 139,512,891
Vang Convertible Sec Mutual Fund ** 27,671,732
Vang LT Treasury ADM Mutual Fund ** 45,529,650
PIM Com Real Ret I Mutual Fund ** 11,773,643
PIM Real Return Inst Mutual Fund ** 47,582,693
Small Cap:
BTC Russel 2000 Index Fund Common/Collective Trust ** 296,719,283
Emerging Markets IDX:
Emerging Markets Non-Lend Common/Collective Trust ** 103,060,692
Forward $ 7,889,080,375
* Represents a party-in-interest to the Plan
** Cost information not required

13

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY
EMPLOYER IDENTIFICATION NO. 38-1285128
PLAN NO. 002
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
INCLUDING APPENDICES A - E
AS OF DECEMBER 31, 2018
(c)
Description of Investment
(b) Including Maturity Date, (d) (e)
Identity of Issuer, Borrower, Rate of Interest, Collateral, Cost or Contract Current
(a) Lessor, or Similar Party Par, or Maturity Value Value Value
Forward $ 7,889,080,375
* Fidelity Contrafund Pool CL 2 Common/Collective Trust ** 684,655,170
* Fidelity Govt MM Portfolio Inst Class Money Market ** 29,932,288
Non-Interest Bearing Cash Temporary Investments ** 82
* Fidelity Short Term Investment Fund Money Market ** 62,503,707
* Participant Loans Interest recorded at prime rate (3.25% - 10.5%) ** 113,531,034
Total $ 8,779,702,656
* Represents a party-in-interest to the Plan (continued)
** Cost information not required

14

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN
PLAN SPONSOR: THE DOW CHEMICAL COMPANY
EMPLOYER IDENTIFICATION NO. 38-1285128
PLAN NO. 002
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
INCLUDING APPENDICES A - E
AS OF DECEMBER 31, 2018
(c)
Description of Investment
(b) Including Maturity Date, (d) (e)
Identity of Issuer, Borrower, Rate of Interest, Collateral, Cost or Contract Current
(a) Lessor, or Similar Party Par, or Maturity Value Value Value
Pacific Life:
G- 27523.01.0001 (see underlying assets at Appendix A) PIMCO, Western; evergreen;
Synthetic GIC ** $ 256,308,783
Voya Retirement & Annuity:
60031-A IGT Invesco ShrtTrm Bond:
evergreen; Common/collective trusts ** 438,684,793
60090 (see underlying assets at Appendix B) Various Securities, maturity dates,
and asset types ** 3,734,098
Transamerica:
MDA01078TR (see underlying assets at Appendix C) IGT Invesco ShrtTrm Bond,
Dow NISA; evergreen; Synthetic GIC ** 387,714,046
RGA:
RGA 00036 (see underlying assets at Appendix E) IGT Invesco ShrtTrm Bond; Wellington
Dow, evergreen; Synthetic GIC ** 221,970,544
Prudential Insurance:
GA-62233 (see underlying assets at Appendix D) Jennison, evergreen;
Synthetic GIC ** 356,240,483
GA-63084 IGT Invesco ShrtTrm Bond;
evergreen; Common/collective trusts ** 36,781,793
Met Tower Life:
38025 IGT INVESCO ShrtTrm Bond;
(see underlying assets at Appendix E) Wellington Dow; evergreen; ** 323,071,888
MacKay Shields Dow; evergreen;
Synthetic GIC
Total guaranteed investment contracts $ 2,024,506,428
Total $ 10,804,209,084
* Represents a party-in-interest to the Plan
** Cost information not required

15

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 December 31, 2018
(c)
(b) Face Value (e)
Identity of Issue, Borrower, or Number (d) Current
(a) Lessor or Similar Party of Shares Cost Value
ABBVIE INC 3.200% 11/06/2022 DD 05/14/15 800,000 $ 798,424 $ 788,051
ABBVIE INC 3.600% 05/14/2025 DD 05/14/15 650,000 668,636 623,474
AMERICAN EXPRESS CREDIT CORP 2.250% 05/05/2021 DD 05/05/16 270,000 272,519 264,214
AMERICAN HONDA FINANCE CORP VAR RT 11/05/2021 DD 09/06/17 700,000 697,158 689,871
AMERICAN INTERNATIONAL GROUP I 4.125% 02/15/2024 DD 10/02/13 1,500,000 1,544,339 1,506,135
AMGEN INC 2.700% 05/01/2022 DD 05/01/15 300,000 299,145 293,769
ANTHEM INC 2.950% 12/01/2022 DD 11/21/17 600,000 599,718 585,144
ARGENT SECURITIES INC A W10 M1 VAR RT 10/25/2034 DD 09/09/04 246,348 244,658 243,190
AT&T INC 3.400% 05/15/2025 DD 05/04/15 750,000 731,798 706,238
AT&T INC 4.300% 02/15/2030 DD 08/15/18 2,049,000 2,059,798 1,936,285
AUTODESK INC 3.125% 06/15/2020 DD 06/05/15 800,000 822,336 796,856
BANC OF AMERICA MORTGAGE A 1A1 VAR RT 02/25/2034 DD 01/01/04 8,841 8,886 8,857
BANK 2017-BNK7 BNK7 ASB 3.265% 09/15/2060 DD 09/01/17 1,000,000 1,029,960 987,760
BANK OF AMERICA CORP VAR RT 12/20/2028 DD 12/20/17 1,052,000 1,059,004 982,726
BANK OF AMERICA CORP 4.100% 07/24/2023 DD 07/23/13 2,800,000 2,925,580 2,837,996
BARCLAYS PLC 3.200% 08/10/2021 DD 08/10/16 2,400,000 2,410,924 2,332,440
BAT CAPITAL CORP VAR RT 08/15/2022 DD 11/15/18 500,000 504,030 494,970
BAYER US FINANCE II LLC 144A VAR RT 06/25/2021 DD 06/25/18 700,000 700,000 690,676
BEAR STEARNS ALT-A TRUS 11 2A2 VAR RT 11/25/2034 DD 09/01/04 70,929 69,908 69,774
BMW US CAPITAL LLC 144A VAR RT 04/12/2021 DD 04/12/18 1,000,000 1,000,000 990,270
BPCE SA 4.000% 04/15/2024 DD 04/15/14 1,300,000 1,327,690 1,305,096
BPCE SA 2.500% 07/15/2019 DD 07/15/14 400,000 398,068 398,464
CALIFORNIA ST 7.950% 03/01/2036 DD 04/01/10 500,000 620,800 527,880
CALIFORNIA ST VAR RT 04/01/2047 DD 04/27/17 1,400,000 1,400,000 1,389,962
CGMS COMMERCIAL MORTGAG B1 AAB 3.243% 08/15/2050 DD 08/01/17 2,300,000 2,360,131 2,284,176
CHARTER COMMUNICATIONS OPERATI 4.464% 07/23/2022 DD 07/23/16 500,000 537,530 504,805
CITIGROUP COMMERCIAL GC11 AAB 2.690% 04/10/2046 DD 04/01/13 348,111 347,255 346,103
CITIGROUP COMMERCIAL GC29 AAB 2.984% 04/10/2048 DD 04/01/15 700,000 715,230 695,576
CITIGROUP COMMERCIAL MO B2 AAB 3.962% 03/10/2051 DD 03/01/18 700,000 720,960 724,899
CITIGROUP COMMERCIAL MO P8 AAB 3.268% 09/15/2050 DD 09/01/17 1,100,000 1,132,985 1,092,476
CITIGROUP INC 3.400% 05/01/2026 DD 05/02/16 2,800,000 2,830,354 2,633,736
COBB-MARIETTA COLISEUM & EXHIB 2.700% 01/01/2022 DD 09/09/15 650,000 650,000 648,739
COMCAST CORP 2.850% 01/15/2023 DD 01/14/13 500,000 489,095 490,280
COMM 2013-CCRE11 MORT CR11 ASB 3.660% 08/10/2050 DD 10/01/13 600,000 626,814 607,902
COMM 2014-CCRE19 MORT CR19 ASB 3.499% 08/10/2047 DD 08/01/14 800,000 823,980 809,472
COMM 2015-DC1 MORTGAGE DC1 ASB 3.142% 02/10/2048 DD 03/01/15 400,000 411,995 400,116
COMM 2016-COR1 MORTGA COR1 ASB 2.972% 10/10/2049 DD 10/01/16 500,000 505,645 494,435
COMMIT TO PUR FNMA SF MTG 3.000% 02/01/2034 DD 02/01/19 4,200,000 4,153,406 4,186,476
COMMIT TO PUR FNMA SF MTG 3.500% 02/01/2034 DD 02/01/19 5,300,000 5,337,266 5,360,367
COMMIT TO PUR FNMA SF MTG 4.000% 01/01/2049 DD 01/01/19 5,300,000 5,349,688 5,402,714

16

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 December 31, 2018 — COMMIT TO PUR GNMA II JUMBOS 4.000% 01/20/2049 DD 01/01/19 5,200,000 5,242,250 5,324,332
CREDIT SUISSE AG/NEW YORK NY 3.625% 09/09/2024 DD 09/09/14 1,000,000 1,003,200 981,190
CREDIT SUISSE AG/NEW YORK NY 3.000% 10/29/2021 DD 10/29/14 900,000 894,600 888,588
CSAIL 2015-C1 COMMERCIA C1 ASB 3.351% 04/15/2050 DD 03/01/15 400,000 411,998 401,252
CSAIL 2015-C4 COMMERCIA C4 ASB 3.617% 11/15/2048 DD 11/01/15 1,000,000 1,075,039 1,011,340
CVS HEALTH CORP 4.100% 03/25/2025 DD 03/09/18 1,600,000 1,600,965 1,584,032
DAIMLER FINANCE NORTH AME 144A 2.300% 02/12/2021 DD 11/14/17 1,400,000 1,397,074 1,366,008
DAIMLER FINANCE NORTH AME 144A VAR RT 05/04/2020 DD 05/04/18 800,000 800,000 795,544
DELL INTERNATIONAL LLC / 144A 4.420% 06/15/2021 DD 06/01/16 800,000 842,048 798,680
DELL INTERNATIONAL LLC / 144A 5.450% 06/15/2023 DD 06/01/16 400,000 436,568 407,056
DEUTSCHE BANK AG/NEW YORK NY 4.250% 10/14/2021 DD 04/14/18 1,200,000 1,197,156 1,173,300
DOMINION ENERGY GAS HOLDINGS L 2.500% 12/15/2019 DD 12/08/14 800,000 806,728 794,080
DUKE ENERGY CORP 144A VAR RT 05/14/2021 DD 05/16/18 500,000 500,000 497,620
ECMC GROUP STUDENT L 2A A 144A VAR RT 05/25/2067 DD 08/10/17 772,402 772,402 783,192
EMD FINANCE LLC 144A 2.400% 03/19/2020 DD 03/19/15 1,000,000 1,000,360 989,820
ENBRIDGE INC 2.900% 07/15/2022 DD 07/07/17 800,000 780,298 774,208
ENERGY TRANSFER OPERATING LP 4.150% 10/01/2020 DD 09/19/13 200,000 209,190 201,208
ENERGY TRANSFER PARTNERS LP / 5.750% 09/01/2020 DD 09/11/13 800,000 837,096 821,032
ENTERPRISE PRODUCTS OPERATING 6.500% 01/31/2019 DD 04/03/08 500,000 531,915 501,100
ESC LEHMAN BRTH HLD 0.000% 05/02/2018 DD 04/24/08 1,800,000 944,180 35,100
ESC LEHMAN BRTH HLD ESCROW 0.000% 11/24/2013 DD 01/22/08 900,000 484,667 17,100
FEDERAL HOME LN BK CONS BD 3.375% 12/08/2023 DD 12/09/13 1,300,000 1,326,620 1,339,715
FEDERAL HOME LN BK CONS BD 2.125% 02/11/2020 DD 02/09/18 800,000 798,536 796,256
FEDERAL HOME LN MTG CORP 1.625% 09/29/2020 DD 09/29/17 1,500,000 1,497,285 1,476,525
FEDERAL HOME LN MTG CORP 2.375% 02/16/2021 DD 02/16/18 3,000,000 2,992,080 2,989,590
FEDERAL NATL MTG ASSN 1.875% 09/24/2026 DD 09/27/16 2,000,000 1,838,240 1,860,900
FEDERAL NATL MTG ASSN 2.000% 01/05/2022 DD 01/09/17 6,400,000 6,389,922 6,305,280
FEDERAL NATL MTG ASSN 2.375% 01/19/2023 DD 01/23/18 1,200,000 1,193,292 1,191,024
FEDERAL NATL MTG ASSN 1.750% 09/12/2019 DD 07/28/14 20,000,000 19,887,400 19,877,800
FHLMC POOL #1G-1744 VAR RT 08/01/2035 DD 09/01/05 181,063 181,563 188,793
FHLMC POOL #78-0605 VAR RT 06/01/2033 DD 06/01/03 320,904 320,704 336,090
FHLMC POOL #84-6183 VAR RT 01/01/2024 DD 10/01/95 10,314 9,869 10,506
FHLMC POOL #G0-8835 3.500% 08/01/2048 DD 08/01/18 593,016 587,735 592,862
FHLMC POOL #G0-8841 3.500% 09/01/2048 DD 09/01/18 7,415,148 7,349,107 7,413,146
FHLMC MULTICLASS MTG 3.389% 03/25/2024 DD 06/01/14 1,000,000 1,029,951 1,016,920
FHLMC MULTICLASS MTG 3225 HF VAR RT 10/15/2036 DD 10/15/06 395,251 397,104 397,828
FHLMC MULTICLASS MTG 3843 FE VAR RT 04/15/2041 DD 04/15/11 448,365 449,486 447,764
FHLMC MULTICLASS MTG 3843 FG VAR RT 04/15/2041 DD 04/15/11 448,365 449,486 451,472
FHLMC MULTICLASS MTG 4559 AF VAR RT 03/15/2042 DD 03/01/16 1,401,844 1,403,596 1,399,573
FHLMC MULTICLASS MTG 4736 CD 3.000% 08/15/2046 DD 11/01/17 663,362 653,100 661,478
FHLMC MULTICLASS MTG K006 AX1 VAR RT 01/25/2020 DD 04/01/10 2,154,411 21,135 15,339
FHLMC MULTICLASS MTG K007 X1 VAR RT 04/25/2020 DD 06/01/10 379,327 4,681 3,820
FHLMC MULTICLASS MTG K008 X1 VAR RT 06/25/2020 DD 09/01/10 446,099 8,993 7,414
FHLMC MULTICLASS MTG K065 A1 2.864% 10/25/2026 DD 07/01/17 679,281 692,829 677,087
FHLMC MULTICLASS MTG W5FX AFX VAR RT 04/25/2028 DD 06/01/18 2,400,000 2,342,856 2,399,472

17

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 December 31, 2018 — FIDELITY NATIONAL INFORMATION 5.000% 10/15/2025 DD 10/20/15 139,000 158,142 144,591
FNMA POOL #0072163 VAR RT 02/01/2028 DD 02/01/89 2,321 2,302 2,283
FNMA POOL #0112511 VAR RT 09/01/2020 DD 01/01/91 685 689 679
FNMA POOL #0303298 VAR RT 01/01/2025 DD 04/01/95 2,029 2,083 2,034
FNMA POOL #0323919 VAR RT 08/01/2029 DD 08/01/99 11,509 11,049 12,004
FNMA POOL #0361373 VAR RT 07/01/2026 DD 09/01/96 13,379 13,718 13,726
FNMA POOL #0MA2705 3.000% 08/01/2046 DD 07/01/16 733,285 763,476 715,158
FNMA POOL #0MA3304 3.000% 02/01/2048 DD 02/01/18 593,839 571,385 578,975
FNMA GTD REMIC P/T 11-47 GF VAR RT 06/25/2041 DD 05/25/11 1,075,295 1,079,663 1,086,703
FNMA GTD REMIC P/T 15-79 FE VAR RT 11/25/2045 DD 10/25/15 697,612 693,579 698,079
FNMA GTD REMIC P/T 16-11 CF VAR RT 03/25/2046 DD 02/25/16 792,778 790,301 794,356
FNMA GTD REMIC P/T 17-M12 A1 2.815% 06/25/2027 DD 10/01/17 1,485,753 1,500,584 1,475,620
FNMA GTD REMIC P/T 17-M8 A1 2.654% 05/25/2027 DD 07/01/17 500,125 505,108 498,199
FNMA GTD REMIC P/T 18-M12 FA VAR RT 08/25/2025 DD 09/01/18 998,312 996,669 996,825
FORD CREDIT AUTO OWNE 1 A 144A 2.260% 11/15/2025 DD 05/15/14 1,000,000 999,751 996,920
FORD MOTOR CREDIT CO LLC 5.875% 08/02/2021 DD 08/01/11 650,000 712,992 666,621
FORD MOTOR CREDIT CO LLC 2.597% 11/04/2019 DD 11/04/14 800,000 793,720 791,168
FORD MOTOR CREDIT CO LLC 4.134% 08/04/2025 DD 08/04/15 900,000 937,629 810,702
GATX CORP VAR RT 11/05/2021 DD 11/06/17 800,000 800,000 791,760
GENERAL ELECTRIC CO 2.700% 10/09/2022 DD 10/09/12 800,000 762,576 742,344
GENERAL ELECTRIC CO 4.650% 10/17/2021 DD 10/17/11 430,000 477,489 431,290
GENERAL MOTORS FINANCIAL CO IN 4.375% 09/25/2021 DD 09/25/14 500,000 524,475 500,970
GENERAL MOTORS FINANCIAL CO IN VAR RT 10/04/2019 DD 10/06/16 800,000 803,400 803,248
GNMA POOL #0434797 8.500% 07/15/2030 DD 07/01/00 5,028 5,218 5,352
GNMA POOL #0434944 8.500% 11/15/2030 DD 11/01/00 2,585 2,683 2,658
GNMA POOL #0434985 8.500% 12/15/2030 DD 12/01/00 4,688 4,858 4,757
GNMA POOL #0486116 8.500% 07/15/2030 DD 07/01/00 9,172 9,508 9,192
GNMA POOL #0494885 8.500% 03/15/2030 DD 03/01/00 1,010 1,047 1,012
GNMA POOL #0498147 8.500% 12/15/2029 DD 12/01/99 309 320 310
GNMA POOL #0511172 8.500% 01/15/2030 DD 01/01/00 522 541 526
GNMA POOL #0520979 8.500% 09/15/2030 DD 09/01/00 4,875 5,059 5,531
GNMA POOL #0521829 8.500% 05/15/2030 DD 05/01/00 4,173 4,327 4,604
GNMA POOL #0531197 8.500% 06/15/2030 DD 06/01/00 7,887 8,175 7,926
GNMA POOL #0698036 6.000% 01/15/2039 DD 01/01/09 20,383 22,208 21,868
GNMA POOL #0782190 6.000% 10/15/2037 DD 10/01/07 3,663 3,991 3,973
GNMA POOL #0782449 6.000% 09/15/2038 DD 10/01/08 28,812 31,392 30,911
GNMA GTD REMIC P/T 17-57 WF VAR RT 12/20/2045 DD 04/01/17 735,760 735,272 733,759
GNMA II POOL #0003001 8.500% 11/20/2030 DD 11/01/00 5,461 5,640 6,229
GNMA II POOL #0008089 VAR RT 12/20/2022 DD 12/01/92 25,914 26,352 26,344
GNMA II POOL #0008913 VAR RT 07/20/2026 DD 07/01/96 10,223 10,105 10,525
GNMA II POOL #0080022 VAR RT 12/20/2026 DD 12/01/96 10,840 10,887 11,161
GNMA II POOL #0080354 VAR RT 12/20/2029 DD 12/01/99 25,238 25,826 26,118
GOLDMAN SACHS GROUP INC/THE 5.250% 07/27/2021 DD 07/27/11 100,000 99,946 103,809
GOLDMAN SACHS GROUP INC/THE 5.750% 01/24/2022 DD 01/24/12 2,400,000 2,722,008 2,512,872
GOLDMAN SACHS GROUP INC/THE 4.000% 03/03/2024 DD 03/03/14 400,000 420,300 394,708

18

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 December 31, 2018 — GOLDMAN SACHS GROUP INC/THE VAR RT 06/05/2023 DD 06/05/17 600,000 600,000 575,994
GOLDMAN SACHS GROUP INC/THE 3.750% 05/22/2025 DD 05/22/15 200,000 201,482 191,354
HARLEY-DAVIDSON FINANCIAL 144A VAR RT 03/02/2021 DD 11/28/18 1,000,000 1,000,000 999,990
HSBC HOLDINGS PLC 3.600% 05/25/2023 DD 05/25/16 900,000 915,877 894,861
HSBC HOLDINGS PLC VAR RT 06/19/2029 DD 06/19/18 1,500,000 1,522,230 1,486,860
HYUNDAI AUTO LEASE B A2B 144A VAR RT 12/16/2019 DD 05/31/17 456,304 456,304 456,309
IMPERIAL BRANDS FINANCE P 144A 3.750% 07/21/2022 DD 07/21/15 1,000,000 1,059,420 991,950
JACKSON NATIONAL LIFE GLO 144A VAR RT 06/11/2021 DD 06/11/18 800,000 800,000 795,000
JAPAN BANK FOR INTERNATIONAL C 2.500% 06/01/2022 DD 06/01/17 500,000 499,510 492,865
JOHN DEERE CAPITAL CORP VAR RT 09/10/2021 DD 09/10/18 800,000 800,000 792,016
JP MORGAN MORTGAGE TRUS A2 4A1 VAR RT 05/25/2034 DD 04/01/04 35,298 35,105 35,225
JPMBB COMMERCIAL MORTG C17 ASB 3.705% 01/15/2047 DD 12/01/13 582,048 609,264 588,340
JPMBB COMMERCIAL MORTG C21 ASB 3.428% 08/15/2047 DD 07/01/14 1,200,000 1,235,996 1,203,048
JPMBB COMMERCIAL MORTG C24 ASB 3.368% 11/15/2047 DD 10/01/14 1,000,000 1,029,996 1,000,760
JPMDB COMMERCIAL MORTGA C4 ASB 2.994% 12/15/2049 DD 11/01/16 900,000 926,999 879,156
JPMORGAN CHASE & CO 3.200% 01/25/2023 DD 01/25/13 1,000,000 1,036,420 985,430
JPMORGAN CHASE & CO 3.625% 05/13/2024 DD 05/13/14 3,000,000 3,128,610 2,980,020
KANSAS ST DEV FIN AUTH REVENUE 2.927% 04/15/2021 DD 08/20/15 950,000 950,000 948,309
KEYBANK NA/CLEVELAND OH 2.500% 12/15/2019 DD 11/24/14 250,000 256,076 248,465
KINDER MORGAN ENERGY PARTNERS 4.300% 05/01/2024 DD 05/02/14 500,000 516,530 499,255
KINDER MORGAN ENERGY PARTNERS 3.500% 09/01/2023 DD 02/28/13 1,500,000 1,480,858 1,457,055
KRAFT HEINZ FOODS CO VAR RT 02/10/2021 DD 08/10/17 800,000 800,000 793,360
LEASEPLAN CORP NV 144A 2.875% 01/22/2019 DD 10/22/15 300,000 302,871 299,889
LEHMAN BRTH HLD (RICI) ESCROW 0.000% 12/28/2017 DD 12/21/07 2,000,000 1,998,520
LLOYDS BANK PLC VAR RT 05/07/2021 DD 05/08/18 400,000 400,000 395,968
LLOYDS BANKING GROUP PLC VAR RT 11/07/2023 DD 11/07/17 900,000 900,000 852,237
LLOYDS BANKING GROUP PLC 4.050% 08/16/2023 DD 08/16/18 800,000 799,784 790,336
LOS ANGELES CA MUNI IMPT CORPL 3.432% 11/01/2021 DD 11/19/15 450,000 450,000 456,242
LOS ANGELES CNTY CA PUBLIC WKS 2.560% 12/01/2019 DD 09/02/15 870,000 870,000 867,199
LOS ANGELES CNTY CA REDEV REFU 2.000% 09/01/2023 DD 08/25/16 800,000 792,424 769,424
MAJAPAHIT HOLDING BV 144A 7.750% 01/20/2020 600,000 627,000 623,838
MASTR ADJUSTABLE RATE M 15 1A1 VAR RT 12/25/2034 DD 11/01/04 14,362 14,430 14,330
MERRILL LYNCH MORTGAGE A1 2A1 VAR RT 02/25/2034 DD 02/01/04 132,613 133,162 132,547
METROPOLITAN LIFE GLOBAL 144A 2.300% 04/10/2019 DD 04/10/14 550,000 549,280 549,065
METROPOLITAN LIFE GLOBAL 144A VAR RT 09/07/2020 DD 09/07/18 1,300,000 1,300,000 1,291,446
MIAMI-DADE CNTY FL AVIATION RE 3.285% 10/01/2023 DD 08/30/18 800,000 800,000 809,136
MORGAN STANLEY 4.000% 07/23/2025 DD 07/23/15 2,000,000 2,131,000 1,973,100
MORGAN STANLEY 5.750% 01/25/2021 DD 01/25/11 2,000,000 2,298,480 2,085,300
MORGAN STANLEY BANK OF C13 ASB 3.557% 11/15/2046 DD 12/01/13 499,440 518,893 504,520
MORGAN STANLEY BANK OF C16 A4 3.600% 06/15/2047 DD 06/01/14 900,000 957,516 908,010
MORGAN STANLEY CAPITAL HR2 ASB 3.509% 12/15/2050 DD 12/01/17 700,000 720,984 703,990
MOTEL 6 TRUST 2017 MTL6 A 144A VAR RT 08/15/2034 DD 09/11/17 765,518 765,518 752,589
NATIONAL RURAL UTILITIES COOPE VAR RT 06/30/2021 DD 07/26/18 1,000,000 1,000,000 992,320
NAVIENT STUDENT LOA 3A A1 144A VAR RT 07/26/2066 DD 04/20/17 196,640 196,640 196,699
NAVIENT STUDENT LOA 4A A1 144A VAR RT 06/27/2067 DD 09/20/18 922,546 922,546 920,710

19

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 December 31, 2018 — NAVIENT STUDENT LOAN 5A A 144A VAR RT 06/25/2065 DD 08/11/16 552,021 552,021 556,134
NEW YORK CITY NY TRANSITIONAL 3.480% 08/01/2026 DD 09/25/18 1,000,000 1,000,000 995,320
NEW YORK ST URBAN DEV CORP REV 2.100% 03/15/2022 DD 03/23/17 1,640,000 1,639,229 1,617,384
NISSAN MOTOR ACCEPTANCE C 144A VAR RT 09/21/2021 DD 09/21/18 1,000,000 1,000,000 980,290
NORTH CAROLINA ST TURNPIKE AUT 6.700% 01/01/2039 DD 07/29/09 345,000 385,579 345,000
NORTH CAROLINA ST TURNPIKE AUT 6.700% 01/01/2039 DD 07/29/09 255,000 284,993 255,839
ORACLE CORP 2.950% 11/15/2024 DD 11/09/17 900,000 898,578 876,501
OVERSEAS PRIVATE INVT CORP 3.790% 06/15/2034 DD 03/17/14 1,046,404 1,046,894 1,086,920
PENSKE TRUCK LEASING CO L 144A 3.050% 01/09/2020 DD 12/11/14 800,000 822,952 796,584
PETROBRAS GLOBAL FINANCE BV 6.250% 03/17/2024 DD 03/17/14 200,000 200,980 202,900
PIONEER NATURAL RESOURCES CO 7.500% 01/15/2020 DD 11/13/09 850,000 1,041,905 883,269
PORT OF SEATTLE WA REVENUE 7.000% 05/01/2036 DD 07/16/09 750,000 876,195 760,388
PROTECTIVE LIFE GLOBAL FU 144A 2.161% 09/25/2020 DD 09/27/17 900,000 900,000 883,944
PUBLIC SERVICE ELECTRIC & GAS 1.900% 03/15/2021 DD 03/03/16 460,000 464,951 449,190
QUALCOMM INC 3.000% 05/20/2022 DD 05/20/15 400,000 399,848 393,520
QVC INC 4.850% 04/01/2024 DD 03/18/14 1,500,000 1,536,930 1,449,510
RECKITT BENCKISER TREASUR 144A 2.375% 06/24/2022 DD 06/26/17 800,000 799,248 768,376
REILLY MTG ASSOC 91ST FHA PROJ VAR RT 02/01/2023 DD 11/04/99 7,693 7,886 7,702
RELIANCE STANDARD LIFE GL 144A 2.500% 04/24/2019 DD 04/24/14 1,000,000 997,670 997,540
REYNOLDS AMERICAN INC 6.875% 05/01/2020 DD 11/01/15 700,000 751,531 728,399
ROYAL BANK OF SCOTLAND GROUP P 3.875% 09/12/2023 DD 09/12/16 1,100,000 1,100,437 1,054,559
SABINE PASS LIQUEFACTION LLC 5.750% 05/15/2024 DD 11/15/14 1,000,000 1,117,630 1,043,360
SAN JOSE CA REDEV AGY SUCCESSO 3.125% 08/01/2028 DD 12/21/17 800,000 754,056 769,344
SANTANDER UK GROUP HOLDINGS PL 3.125% 01/08/2021 DD 01/08/16 1,150,000 1,165,658 1,128,978
SANTANDER UK PLC VAR RT 11/15/2021 DD 11/15/18 400,000 400,000 396,288
SBA TOWER TRUST 144A 2.898% 10/15/2044 DD 10/15/14 900,000 900,000 894,699
SLC STUDENT LOAN TRUST 20 1 A3 VAR RT 02/15/2025 DD 06/15/05 303,073 302,742 302,931
SLC STUDENT LOAN TRUST 20 2 A3 VAR RT 03/15/2027 DD 09/28/05 402,737 401,856 402,504
SLC STUDENT LOAN TRUST 20 2 A5 VAR RT 09/15/2026 DD 09/19/06 943,022 935,092 941,400
SLM STUDENT LOAN T 10 A7B 144A VAR RT 10/25/2029 DD 04/25/18 600,000 600,000 599,484
SLM STUDENT LOAN T 3A A6B 144A VAR RT 10/25/2064 DD 04/25/14 1,000,000 988,125 1,002,480
SLM STUDENT LOAN TRUST 20 1 A5 VAR RT 01/26/2026 DD 01/25/07 290,812 289,904 289,856
SLM STUDENT LOAN TRUST 20 3 A5 VAR RT 10/25/2024 DD 04/13/05 163,163 161,760 163,009
SLM STUDENT LOAN TRUST 20 4 A3 VAR RT 01/25/2027 DD 05/19/05 346,011 344,173 344,315
SLM STUDENT LOAN TRUST 20 8 A5 VAR RT 01/27/2025 DD 09/14/06 1,001,223 997,782 997,229
SMBC AVIATION CAPITAL FIN 144A 4.125% 07/15/2023 DD 07/30/18 500,000 498,965 502,270
SOCIETE GENERALE SA 144A 2.625% 09/16/2020 DD 09/16/15 1,150,000 1,144,975 1,136,246
SOUTHERN POWER CO 144A VAR RT 12/20/2020 DD 11/20/17 800,000 800,000 790,136
SOUTHWEST AIRLINES CO 2.750% 11/06/2019 DD 11/06/14 500,000 498,980 498,135
STRYKER CORP 3.500% 03/15/2026 DD 03/10/16 800,000 764,936 769,280
TECH DATA CORP 3.700% 02/15/2022 DD 01/31/17 400,000 400,804 392,448
TELEFONICA EMISIONES SA 5.877% 07/15/2019 DD 07/06/09 650,000 722,605 657,787
TELEFONICA EMISIONES SA 5.462% 02/16/2021 DD 02/16/11 900,000 1,000,629 932,715
TEVA PHARMACEUTICAL FINANCE NE 2.200% 07/21/2021 DD 07/21/16 600,000 577,740 551,526
THORNBURG MORTGAGE SECUR 4 2A1 VAR RT 09/25/2037 DD 08/01/07 67,723 67,696 67,506

20

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 December 31, 2018 — TOYOTA MOTOR CREDIT CORP VAR RT 05/17/2022 DD 05/17/18 1,100,000 1,100,000 1,087,812
TYSON FOODS INC 3.950% 08/15/2024 DD 08/08/14 700,000 756,035 695,940
U S TREASURY NOTE 1.500% 08/15/2026 DD 08/15/16 100,000 97,093 92,250
U S TREASURY NOTE 1.875% 07/31/2022 DD 07/31/17 5,700,000 5,712,246 5,581,782
U S TREASURY NOTE 2.250% 10/31/2024 DD 10/31/17 2,650,000 2,670,489 2,605,798
U S TREASURY NOTE 2.250% 02/15/2021 DD 02/15/18 4,500,000 4,492,441 4,475,565
U S TREASURY NOTE 2.750% 08/31/2023 DD 08/31/18 4,000,000 3,967,344 4,044,840
U S TREASURY NOTE 2.875% 11/30/2023 DD 11/30/18 1,300,000 1,307,313 1,322,646
U S TREASURY NOTE 1.750% 03/31/2022 DD 03/31/15 3,000,000 3,005,156 2,932,740
U S TREASURY NOTE 1.375% 04/30/2021 DD 04/30/16 4,800,000 4,791,609 4,681,488
U S TREASURY NOTE 2.250% 02/15/2027 DD 02/15/17 3,100,000 3,088,293 3,010,162
U S TREASURY NOTE 2.000% 04/30/2024 DD 04/30/17 4,100,000 4,063,164 3,991,719
U S TREASURY NOTE 2.375% 05/15/2027 DD 05/15/17 6,480,000 6,554,333 6,344,309
U S TREASURY NOTE 2.000% 05/31/2024 DD 05/31/17 5,200,000 5,217,976 5,059,444
UBS COMMERCIAL MORTGAGE C4 ASB 3.366% 10/15/2050 DD 10/01/17 500,000 514,982 496,035
UBS COMMERCIAL MORTGAGE C7 ASB 3.586% 12/15/2050 DD 12/01/17 800,000 823,995 807,176
UBS GROUP FUNDING SWITZER 144A VAR RT 08/15/2023 DD 08/15/17 1,600,000 1,600,000 1,538,864
UBS-BARCLAYS COMMERCIAL C5 AAB 2.687% 03/10/2046 DD 02/01/13 418,428 416,403 415,670
UNIV OF CALIFORNIA CA REVENUES 2.719% 05/15/2024 DD 09/28/17 700,000 700,000 685,713
UTAH ST 3.539% 07/01/2025 DD 09/30/10 1,350,000 1,450,802 1,382,346
VERIZON COMMUNICATIONS INC 3.376% 02/15/2025 DD 08/16/17 2,589,000 2,561,966 2,512,391
VOLKSWAGEN GROUP OF AMERI 144A 2.450% 11/20/2019 DD 11/20/14 500,000 499,500 495,235
WELLS FARGO & CO VAR RT 01/24/2023 DD 01/24/17 1,600,000 1,600,000 1,584,528
WELLS FARGO & CO 3.300% 09/09/2024 DD 09/09/14 2,500,000 2,488,775 2,418,350
WELLS FARGO COMMERCIAL C30 ASB 3.412% 09/15/2058 DD 08/01/15 800,000 856,438 803,712
WELLS FARGO COMMERCIAL C35 ASB 2.788% 07/15/2048 DD 07/01/16 600,000 617,980 588,750
WESTJET AIRLINES LTD 144A 3.500% 06/16/2021 DD 06/16/16 1,000,000 1,025,000 991,300
WISCONSIN ST GEN FUND ANNUAL A 1.899% 05/01/2022 DD 08/16/16 800,000 800,000 773,968
YALE UNIVERSITY 2.086% 04/15/2019 DD 04/10/14 350,000 357,884 349,587
ZIMMER BIOMET HOLDINGS INC 3.550% 04/01/2025 DD 03/19/15 800,000 826,712 760,360
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 5,000,000 (5,042,578 ) (5,042,578 )
COMMIT TO PUR FNMA SF MTG 3.000% 01/01/2034 DD 01/01/19 4,200,000 (4,138,969 ) (4,138,969 )
COMMIT TO PUR FNMA SF MTG 3.000% 02/01/2034 DD 02/01/19 4,200,000 (4,153,406 ) (4,153,406 )
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 300,000 (302,555 ) (302,555 )
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 300,000 (301,500 ) (301,500 )
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 5,000,000 (5,025,781 ) (5,025,781 )
COMMIT TO PUR FNMA SF MTG 3.500% 02/01/2034 DD 02/01/19 5,300,000 (5,337,266 ) (5,337,266 )
COMMIT TO PUR FNMA SF MTG 4.000% 01/01/2049 DD 01/01/19 5,300,000 (5,349,688 ) (5,349,688 )
COMMIT TO PUR FNMA SF MTG 3.000% 01/01/2034 DD 01/01/19 (4,200,000 ) 4,156,688 4,156,688
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 (300,000 ) 302,320 302,320
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 (300,000 ) 302,555 302,555
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 (5,000,000 ) 5,042,578 5,042,578
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2034 DD 01/01/19 (5,000,000 ) 5,038,672 5,038,672
COMMIT TO PUR GNMA II JUMBOS 4.000% 01/20/2049 DD 01/01/19 5,200,000 (5,242,250 ) (5,242,250 )
FHLMC POOL #1G-1744 VAR RT 08/01/2035 DD 09/01/05 (618 ) 618 618

21

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01.0001 December 31, 2018 — FHLMC POOL #78-0605 VAR RT 06/01/2033 DD 06/01/03 (5,493 ) 5,493 5,493
FHLMC POOL #84-6183 VAR RT 01/01/2024 DD 10/01/95 (182 ) 182 182
FHLMC MULTICLASS MTG 4559 AF VAR RT 03/15/2042 DD 03/01/16 (59,205 ) 59,205 59,205
90DAY EURO$ FUTURE (CME) EXP JUN 19 112 (7,125 ) (7,125 )
90DAY EURO$ FUTURE (CME) EXP DEC 19 62 52,700 52,700
US 5YR NOTE FUTURE (CBT) EXP MAR 19 165 297,508 297,508
US ULTRA BOND (CBT) EXP MAR 19 (16 ) (135,125 ) (135,125 )
INTEREST BEARING CASH TEMPORARY INVESTMENTS 4,989,153 4,989,153
TOTAL UNDERLYING ASSETS $ 261,864,478 253,202,827
ADJUSTMENT FROM MARKET TO CONTRACT VALUE 3,105,956
CONTRACT VALUE $ 256,308,783

22

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX B - UNDERLYING ASSETS FOR VOYA RETIREMENT & ANNUITY 60090 December 31, 2018
(c)
(b) Face Value (e)
Identity of Issue, Borrower, or Number (d) Current
(a) Lessor or Similar Party of Shares Cost Value
AMERIQUEST MORTGAGE SEC AR2 M1 VAR RT 05/25/2033 DD 05/14/03 4,221 $ 4,221 $ 4,174
ASSET BACKED SECURITIES HE3 M1 VAR RT 06/15/2033 DD 06/03/03 8,958 8,949 8,944
ASSET BACKED SECURITIES HE4 M2 VAR RT 08/15/2033 DD 08/06/03 4,346 4,346 4,265
CDC MORTGAGE CAPITAL TR HE1 M1 VAR RT 08/25/2033 DD 03/28/03 3,292 3,271 3,278
CDC MORTGAGE CAPITAL TR HE2 M1 VAR RT 10/25/2033 DD 05/29/03 3,421 3,423 3,408
CDC MORTGAGE CAPITAL TR HE3 M1 VAR RT 03/25/2033 DD 11/27/02 2,042 2,045 2,048
COUNTRYWIDE ASSET-BACKED 5 MV1 VAR RT 03/25/2033 DD 12/30/02 1,575 1,595 1,568
GNMA II POOL #0891616 VAR RT 06/20/2058 DD 07/01/08 329,858 336,339 336,468
GS MORTGAGE SECURITIE GCJ7 AAB 2.935% 05/10/2045 DD 06/01/12 564,976 581,343 563,603
GSAMP TRUST 2002-HE HE M1 VAR RT 11/20/2032 DD 11/27/02 1,025 1,043 1,023
HOME EQUITY ASSET TRUST 2 4 M1 VAR RT 10/25/2033 DD 06/27/03 12,661 12,661 12,531
HOME EQUITY ASSET TRUST 2 5 M1 VAR RT 12/25/2033 DD 08/28/03 2,008 2,008 2,023
LONG BEACH MORTGAGE LOAN 3 M1 VAR RT 07/25/2033 DD 06/05/03 34,104 34,104 34,080
MORGAN STANLEY ABS CAPI HE1 M1 VAR RT 05/25/2033 DD 06/27/03 10,373 10,373 10,286
MORGAN STANLEY ABS CAPI NC7 M1 VAR RT 06/25/2033 DD 07/30/03 3,054 3,054 3,079
MORGAN STANLEY BANK OF C24 A1 1.706% 05/15/2048 DD 08/01/15 253,656 254,845 250,635
MORGAN STANLEY DEAN WIT NC5 M3 VAR RT 10/25/2032 DD 10/29/02 843 844 834
U S TREASURY NOTE 0.875% 05/15/2019 DD 05/15/16 1,000,000 994,844 994,100
U S TREASURY NOTE 1.750% 05/31/2022 DD 05/31/17 1,000,000 1,000,156 976,250
INTEREST BEARING CASH TEMPORARY INVESTMENTS 511,623 511,623
TOTAL UNDERLYING ASSETS $ 3,771,087 3,724,220
ADJUSTMENT FROM MARKET TO CONTRACT VALUE 9,878
CONTRACT VALUE $ 3,734,098

23

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR TRANSAMERICA MDA01078TR December 31, 2018
(c)
(b) Face Value (e)
Identity of Issue, Borrower, or Number (d) Current
(a) Lessor or Similar Party of Shares Cost Value
ABBOTT LABORATORIES 3.400% 11/30/2023 DD 11/22/16 945,000 $ 927,031 $ 942,111
ALIMENTATION COUCHE-TARD 144A 2.350% 12/13/2019 DD 12/14/17 895,000 894,893 886,650
ALLERGAN SALES LLC 144A 5.000% 12/15/2021 DD 12/10/13 325,000 351,878 334,393
AMERICAN EXPRESS CO 3.700% 08/03/2023 DD 08/03/18 175,000 173,259 175,506
AMERICAN EXPRESS CREDIT CORP 2.600% 09/14/2020 DD 09/14/15 120,000 119,323 118,772
ANHEUSER-BUSCH COS LLC / 144A 3.650% 02/01/2026 DD 08/01/18 495,000 468,433 468,047
ANTHEM INC 3.125% 05/15/2022 DD 05/07/12 1,180,000 1,161,899 1,162,666
ASTRAZENECA PLC 3.500% 08/17/2023 DD 08/17/18 390,000 381,771 387,956
AT&T INC 144A 0.000% 11/27/2022 DD 11/27/07 2,000,000 1,542,500 1,733,520
BANK OF AMERICA CORP 3.300% 01/11/2023 DD 01/11/13 345,000 336,893 339,777
BANK OF AMERICA CORP VAR RT 07/21/2023 DD 07/21/17 785,000 755,625 759,307
BANK OF AMERICA CORP VAR RT 12/20/2023 DD 12/20/17 355,000 341,940 345,064
BANK OF AMERICA CORP VAR RT 03/05/2024 DD 03/05/18 325,000 319,516 321,071
BANK OF AMERICA CORP 4.100% 07/24/2023 DD 07/23/13 420,000 420,932 425,699
BANK OF MONTREAL VAR RT 10/05/2028 DD 10/05/18 395,000 395,000 393,219
BARCLAYS PLC VAR RT 05/16/2024 DD 05/16/18 800,000 800,000 777,800
BAT CAPITAL CORP 3.222% 08/15/2024 DD 08/15/18 148,000 139,921 136,321
BAXALTA INC 2.875% 06/23/2020 DD 12/23/15 128,000 127,959 126,857
BAYER US FINANCE II LLC 144A 3.875% 12/15/2023 DD 06/25/18 1,575,000 1,569,866 1,546,430
BERKSHIRE HATHAWAY ENERGY CO 2.375% 01/15/2021 DD 01/05/18 1,245,000 1,244,278 1,227,981
BERKSHIRE HATHAWAY INC 2.200% 03/15/2021 DD 03/15/16 200,000 204,749 197,376
BP CAPITAL MARKETS AMERICA INC 4.500% 10/01/2020 DD 10/01/18 115,000 117,141 117,744
BRISTOL-MYERS SQUIBB CO 1.750% 03/01/2019 DD 10/31/13 580,000 581,305 578,747
CANADIAN NATURAL RESOURCES LTD 2.950% 01/15/2023 DD 05/30/17 425,000 424,375 406,232
CAPITAL ONE BANK USA NA 3.375% 02/15/2023 DD 02/11/13 535,000 513,637 516,580
CAPITAL ONE NA 2.650% 08/08/2022 DD 08/08/17 140,000 133,510 134,442
CELGENE CORP 3.250% 02/20/2023 DD 02/20/18 315,000 314,238 307,582
CENTERPOINT ENERGY INC 3.600% 11/01/2021 DD 10/05/18 935,000 934,729 936,954
CF INDUSTRIES INC 144A 3.400% 12/01/2021 DD 11/21/16 340,000 339,500 333,377
CHARTER COMMUNICATIONS OPERATI 4.500% 02/01/2024 DD 07/03/18 315,000 314,663 314,521
CIGNA CORP 144A 3.400% 09/17/2021 DD 09/17/18 2,280,000 2,280,000 2,274,824
CITIBANK NA 3.400% 07/23/2021 DD 07/23/18 1,590,000 1,588,251 1,592,019
CITIGROUP INC VAR RT 07/24/2023 DD 07/24/17 735,000 704,968 711,282
CITIGROUP INC VAR RT 01/24/2023 DD 01/24/18 485,000 485,113 476,391
CITIGROUP INC VAR RT 06/01/2024 DD 05/22/18 945,000 946,001 947,655
COMCAST CORP 3.700% 04/15/2024 DD 10/05/18 1,920,000 1,919,885 1,931,731
CONAGRA BRANDS INC 4.300% 05/01/2024 DD 10/22/18 1,000,000 999,500 993,970

24

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR TRANSAMERICA MDA01078TR December 31, 2018 — CONSTELLATION BRANDS INC 2.650% 11/07/2022 DD 11/07/17 480,000 460,032 459,614
CONTINENTAL RESOURCES INC/OK 3.800% 06/01/2024 DD 05/19/14 215,000 209,125 203,534
COOPERATIEVE RABOBANK UA 3.950% 11/09/2022 DD 11/09/12 275,000 276,697 274,104
CVS HEALTH CORP 3.700% 03/09/2023 DD 03/09/18 1,730,000 1,714,499 1,711,489
DAIMLER FINANCE NORTH AME 144A 1.750% 10/30/2019 DD 10/31/16 910,000 908,708 897,906
DAIMLER FINANCE NORTH AME 144A 2.300% 01/06/2020 DD 01/06/17 420,000 419,807 415,414
DEVON ENERGY CORP 3.250% 05/15/2022 DD 05/14/12 170,000 166,952 165,657
DISCOVERY COMMUNICATIONS LLC 2.200% 09/20/2019 DD 09/21/17 510,000 509,801 504,665
DOMINION ENERGY GAS HOLDINGS L 2.500% 12/15/2019 DD 12/08/14 515,000 514,804 511,189
DTE ENERGY CO 3.700% 08/01/2023 DD 08/06/18 55,000 54,914 54,615
EASTMAN CHEMICAL CO 3.500% 12/01/2021 DD 11/06/18 470,000 468,717 472,355
ENERGY TRANSFER OPERATING LP 4.200% 09/15/2023 DD 06/08/18 1,000,000 999,260 985,540
ENERGY TRANSFER PARTNERS LP / 4.500% 11/01/2023 DD 11/01/13 260,000 257,876 260,086
ENERGY TRANSFER PARTNERS LP / 5.750% 09/01/2020 DD 09/11/13 425,000 463,815 436,173
EXELON CORP 2.450% 04/15/2021 DD 04/07/16 905,000 916,032 885,126
FEDERAL NATL MTG ASSN 2.500% 04/13/2021 DD 04/13/18 3,225,000 3,220,195 3,222,356
FEDERAL NATL MTG ASSN 2.875% 09/12/2023 DD 09/14/18 2,075,000 2,066,493 2,099,423
FISCAL YEAR 2005 SECURITIZATIO 4.930% 04/01/2020 DD 12/02/04 100,000 107,461 100,781
FORD MOTOR CREDIT CO LLC 3.813% 10/12/2021 DD 08/09/18 500,000 500,000 485,595
FORTIVE CORP 1.800% 06/15/2019 DD 06/15/17 96,000 95,897 94,852
GENERAL MOTORS FINANCIAL CO IN 3.500% 11/07/2024 DD 11/07/17 530,000 485,565 484,606
GENERAL MOTORS FINANCIAL CO IN 4.150% 06/19/2023 DD 06/19/18 685,000 683,986 667,430
GEORGIA POWER CO 2.000% 09/08/2020 DD 08/08/17 845,000 844,713 825,810
GNMA GTD REMIC P/T 11-121 FA VAR RT 03/16/2043 DD 09/16/11 248,943 249,662 248,365
GOLDMAN SACHS GROUP INC/THE VAR RT 06/05/2023 DD 06/05/17 315,000 316,262 302,397
GOLDMAN SACHS GROUP INC/THE VAR RT 10/31/2022 DD 10/31/17 1,405,000 1,405,000 1,364,550
HSBC HOLDINGS PLC VAR RT 03/13/2023 DD 03/13/17 875,000 875,000 856,328
HUNTINGTON NATIONAL BANK/THE 3.250% 05/14/2021 DD 05/15/18 140,000 138,895 139,651
INTERNATIONAL FLAVORS & FRAGRA 3.400% 09/25/2020 DD 09/26/18 260,000 259,917 260,200
JPMORGAN CHASE & CO VAR RT 07/23/2024 DD 07/23/18 1,300,000 1,298,425 1,302,353
JPMORGAN CHASE BANK NA VAR RT 04/26/2021 DD 04/26/18 1,140,000 1,140,000 1,135,394
KEURIG DR PEPPER INC 144A 4.057% 05/25/2023 DD 05/25/18 1,000,000 1,000,000 996,540
KREDITANSTALT FUER WIEDERAUFBA 1.625% 05/29/2020 DD 05/31/17 2,145,000 2,141,761 2,115,206
KROGER CO/THE 3.300% 01/15/2021 DD 12/23/13 480,000 490,766 477,931
KROGER CO/THE 1.500% 09/30/2019 DD 10/03/16 410,000 409,799 404,313
LINCOLN NATIONAL CORP 4.000% 09/01/2023 DD 08/16/13 1,000,000 1,034,310 1,019,420
LOCKHEED MARTIN CORP 2.500% 11/23/2020 DD 11/23/15 900,000 890,478 889,515
MANUFACTURERS & TRADERS TRUST 2.250% 07/25/2019 DD 07/25/14 110,000 109,674 109,612
MARSH & MCLENNAN COS INC 2.750% 01/30/2022 DD 01/12/17 800,000 798,904 784,112
METROPOLITAN LIFE GLOBAL 144A 3.875% 04/11/2022 DD 04/10/12 565,000 568,882 572,255
MITSUBISHI UFJ FINANCIAL GROUP 3.455% 03/02/2023 DD 03/02/18 265,000 265,000 263,373

25

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR TRANSAMERICA MDA01078TR December 31, 2018 — MONDELEZ INTERNATIONAL HO 144A 1.625% 10/28/2019 DD 10/28/16 500,000 493,070 493,040
MOODY'S CORP 3.250% 06/07/2021 DD 06/07/18 95,000 94,858 94,633
MORGAN STANLEY VAR RT 02/14/2020 DD 02/17/17 510,000 510,000 510,015
MOTIVA ENTERPRISES LLC 144A 5.750% 01/15/2020 DD 01/11/10 203,000 227,438 206,559
NATIONAL RURAL UTILITIES COOPE 1.650% 02/08/2019 DD 02/08/16 515,000 514,387 514,248
NCUA GUARANTEED NOTES 3.450% 06/12/2021 DD 06/16/11 885,000 947,879 901,605
NISOURCE INC 144A 3.650% 06/15/2023 DD 06/11/18 365,000 363,414 365,617
NISSAN MOTOR ACCEPTANCE C 144A 2.150% 09/28/2020 DD 09/28/17 945,000 944,206 918,294
NORTHERN STATES POWER CO/MN 2.200% 08/15/2020 DD 08/11/15 400,000 399,264 394,580
NORTHROP GRUMMAN CORP 3.250% 08/01/2023 DD 05/31/13 135,000 132,260 132,858
PECO ENERGY CO 1.700% 09/15/2021 DD 09/21/16 815,000 814,772 785,163
PFIZER INC 3.000% 09/15/2021 DD 09/07/18 185,000 184,750 186,104
PLAINS ALL AMERICAN PIPELINE L 2.600% 12/15/2019 DD 12/09/14 510,000 509,046 502,467
PNC BANK NA 2.300% 06/01/2020 DD 06/01/15 145,000 143,041 143,048
PROCTER & GAMBLE - ESOP 9.360% 01/01/2021 DD 12/04/90 68,418 87,233 72,546
PUBLIC SERVICE ENTERPRISE GROU 2.650% 11/15/2022 DD 11/06/17 1,060,000 1,058,654 1,024,999
REGIONS FINANCIAL CORP 2.750% 08/14/2022 DD 08/14/17 235,000 234,880 226,723
REGIONS FINANCIAL CORP 3.800% 08/14/2023 DD 08/13/18 345,000 344,796 345,618
SAN DIEGO GAS & ELECTRIC CO 1.914% 02/01/2022 DD 03/12/15 285,002 285,002 279,653
SANTANDER UK GROUP HOLDINGS PL VAR RT 01/05/2024 DD 01/05/18 1,385,000 1,385,000 1,314,130
SEMPRA ENERGY 3.550% 06/15/2024 DD 06/13/14 410,000 407,319 401,919
SEMPRA ENERGY 2.400% 02/01/2020 DD 01/12/18 490,000 489,334 483,410
SOUTHERN CALIFORNIA EDISON CO 1.845% 02/01/2022 DD 01/16/15 347,500 347,500 337,982
SOUTHERN CO/THE 2.350% 07/01/2021 DD 05/24/16 605,000 604,177 587,534
SOUTHERN CO/THE 2.950% 07/01/2023 DD 05/24/16 155,000 154,335 149,684
STARBUCKS CORP 3.800% 08/15/2025 DD 08/10/18 260,000 259,761 257,119
SUMITOMO MITSUI FINANCIAL GROU 2.846% 01/11/2022 DD 01/12/17 155,000 151,028 152,151
SUMITOMO MITSUI FINANCIAL GROU 3.748% 07/19/2023 DD 07/19/18 335,000 335,000 337,147
SUNTRUST BANK/ATLANTA GA 2.250% 01/31/2020 DD 02/01/17 925,000 924,649 914,030
SUNTRUST BANK/ATLANTA GA VAR RT 08/02/2022 DD 07/26/18 875,000 875,000 872,384
TENNESSEE GAS PIPELINE CO LLC 7.000% 03/15/2027 DD 03/13/97 135,000 155,621 152,600
TEXTRON INC 3.875% 03/01/2025 DD 11/06/14 425,000 441,354 414,273
TIME WARNER ENTERTAINMENT CO L 8.375% 03/15/2023 DD 09/15/93 80,000 90,834 91,266
TORONTO-DOMINION BANK/THE 1.800% 07/13/2021 DD 07/13/16 245,000 240,837 237,084
TORONTO-DOMINION BANK/THE 3.250% 06/11/2021 DD 06/12/18 340,000 339,847 341,394
TOYOTA MOTOR CREDIT CORP 1.700% 02/19/2019 DD 02/19/16 230,000 231,163 229,575
U S TREASURY NOTE 1.125% 08/31/2021 DD 08/31/16 5,245,000 4,992,820 5,062,631
U S TREASURY NOTE 1.875% 07/31/2022 DD 07/31/17 2,180,000 2,111,684 2,134,787
U S TREASURY NOTE 1.625% 10/15/2020 DD 10/15/17 11,355,000 11,136,771 11,177,976
U S TREASURY NOTE 2.125% 11/30/2024 DD 11/30/17 2,315,000 2,260,290 2,259,579
U S TREASURY NOTE 1.875% 12/15/2020 DD 12/15/17 1,200,000 1,197,253 1,185,708
U S TREASURY NOTE 2.000% 01/15/2021 DD 01/15/18 20,700,000 20,444,392 20,491,344

26

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR TRANSAMERICA MDA01078TR December 31, 2018 — U S TREASURY NOTE 2.250% 02/15/2021 DD 02/15/18 2,165,000 2,146,141 2,153,244
U S TREASURY NOTE 2.375% 04/15/2021 DD 04/15/18 4,615,000 4,560,377 4,603,463
U S TREASURY NOTE 2.375% 04/30/2020 DD 04/30/18 7,365,000 7,347,702 7,345,409
U S TREASURY NOTE 2.750% 08/15/2021 DD 08/15/18 6,610,000 6,595,024 6,654,684
U S TREASURY NOTE 2.875% 09/30/2023 DD 09/30/18 8,310,000 8,292,679 8,445,038
U S TREASURY NOTE 2.875% 10/15/2021 DD 10/15/18 4,365,000 4,365,749 4,411,051
U S TREASURY NOTE 2.875% 10/31/2020 DD 10/31/18 1,505,000 1,514,641 1,514,406
U S TREASURY NOTE 3.125% 11/15/2028 DD 11/15/18 235,000 240,545 243,758
U S TREASURY NOTE 2.875% 11/30/2025 DD 11/30/18 970,000 965,150 987,392
U S TREASURY NOTE 2.875% 11/30/2023 DD 11/30/18 1,405,000 1,409,128 1,429,475
U S TREASURY NOTE 2.750% 11/30/2020 DD 11/30/18 9,935,000 9,918,166 9,980,006
U S TREASURY NOTE 2.625% 12/15/2021 DD 12/15/18 4,515,000 4,512,054 4,535,272
U S TREASURY NOTE 1.625% 03/31/2019 DD 03/31/14 2,320,000 2,362,956 2,315,453
U S TREASURY NOTE 2.250% 11/15/2024 DD 11/15/14 600,000 573,906 589,662
U S TREASURY NOTE 3.375% 11/15/2019 DD 11/15/09 395,000 397,530 397,378
U S TREASURY NOTE 1.875% 10/31/2022 DD 10/31/15 11,505,000 11,018,463 11,247,978
U S TREASURY NOTE 1.625% 11/30/2020 DD 11/30/15 5,780,000 5,852,328 5,684,746
U S TREASURY NOTE 2.125% 12/31/2022 DD 12/31/15 7,795,000 7,612,808 7,685,091
U S TREASURY NOTE 1.750% 05/15/2022 DD 05/15/12 3,305,000 3,174,382 3,227,399
U S TREASURY NOTE 1.250% 10/31/2021 DD 10/31/16 1,820,000 1,734,448 1,759,285
U S TREASURY NOTE 1.125% 01/31/2019 DD 01/31/17 2,985,000 2,980,699 2,982,134
U S TREASURY NOTE 2.000% 07/31/2020 DD 07/31/13 750,000 762,545 743,820
U S TREASURY NOTE 2.500% 08/15/2023 DD 08/15/13 3,805,000 3,763,086 3,803,820
U S TREASURY NOTE 2.125% 08/31/2020 DD 08/31/13 5,050,000 4,989,348 5,016,468
U S TREASURY NOTE 1.500% 04/15/2020 DD 04/15/17 3,150,000 3,102,859 3,108,042
U S TREASURY NOTE 1.875% 04/30/2022 DD 04/30/17 11,030,000 10,745,184 10,818,886
U S TREASURY NOTE 2.125% 05/15/2025 DD 05/15/15 2,185,000 2,089,681 2,126,289
U S TREASURY NOTE 1.625% 07/31/2020 DD 07/31/15 5,965,000 5,976,184 5,880,416
U S TREASURY NOTE 1.750% 05/31/2022 DD 05/31/17 10,330,000 10,058,769 10,084,663
U S TREASURY NOTE 2.500% 06/30/2020 DD 06/30/18 2,545,000 2,541,785 2,543,015
U S TREASURY NOTE 2.750% 06/30/2025 DD 06/30/18 765,000 762,500 772,711
U S TREASURY NOTE 2.625% 07/15/2021 DD 07/15/18 2,200,000 2,208,164 2,207,832
U S TREASURY NOTE 2.750% 07/31/2023 DD 07/31/18 6,535,000 6,490,085 6,604,663
UBS AG/LONDON 144A 2.450% 12/01/2020 DD 11/30/17 215,000 210,457 210,982
UBS GROUP FUNDING SWITZER 144A VAR RT 08/15/2023 DD 08/15/17 250,000 247,883 240,448
UNION PACIFIC CORP 3.500% 06/08/2023 DD 06/08/18 720,000 719,345 721,368
UNITEDHEALTH GROUP INC 2.375% 10/15/2022 DD 10/25/17 365,000 350,396 353,798
UNITEDHEALTH GROUP INC 3.500% 02/15/2024 DD 12/17/18 205,000 204,490 206,312
US BANK NA/CINCINNATI OH 2.000% 01/24/2020 DD 01/24/17 455,000 454,040 450,750
US BANK NA/CINCINNATI OH 2.050% 10/23/2020 DD 10/24/17 540,000 529,484 530,636
US BANK NA/CINCINNATI OH 3.450% 11/16/2021 DD 11/16/18 680,000 679,062 685,107
VALERO ENERGY PARTNERS LP 4.375% 12/15/2026 DD 12/09/16 80,000 78,408 78,669

27

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR TRANSAMERICA MDA01078TR December 31, 2018 — WABTEC CORP 4.150% 03/15/2024 DD 09/14/18 500,000 499,025 483,175
WEC ENERGY GROUP INC 3.375% 06/15/2021 DD 06/07/18 230,000 229,906 229,855
WELLS FARGO & CO 3.500% 03/08/2022 DD 03/08/12 310,000 307,224 308,968
WELLS FARGO BANK NA VAR RT 07/23/2021 DD 07/23/18 1,915,000 1,915,000 1,913,142
ZOETIS INC 3.900% 08/20/2028 DD 08/20/18 75,000 74,858 73,478
PROCTER & GAMBLE - ESOP 9.360% 01/01/2021 DD 12/04/90 (15,165 ) 15,165 15,165
U S TREASURY BILL 0.000% 03/07/2019 DD 09/06/18 4,260,000 (4,242,619 ) (4,242,619 )
U S TREASURY NOTE 2.125% 11/30/2024 DD 11/30/17 2,315,000 (2,260,290 ) (2,264,885 )
U S TREASURY NOTE 2.875% 10/31/2020 DD 10/31/18 1,505,000 (1,514,641 ) (1,522,291 )
U S TREASURY NOTE 2.625% 07/15/2021 DD 07/15/18 2,200,000 (2,208,164 ) (2,235,156 )
U S TREASURY NOTE 1.500% 05/31/2019 DD 05/31/14 (1,475,000 ) 1,469,065 1,471,132
U S TREASURY NOTE 1.625% 07/31/2019 DD 07/31/14 (6,320,000 ) 6,286,178 6,329,714
U S TREASURY NOTE 1.250% 05/31/2019 DD 05/31/17 (1,420,000 ) 1,412,845 1,414,503
IGT Invesco Short Term Bond Fund 120,124,195 113,960,319 113,960,319
INTEREST BEARING CASH TEMPORARY INVESTMENTS 10,945,242 10,945,242
TOTAL UNDERLYING ASSETS $ 384,305,229 384,784,647
ADJUSTMENT FROM MARKET TO CONTRACT VALUE 2,929,399
CONTRACT VALUE $ 387,714,046

28

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR PRUDENTIAL INSURANCE GA-62233 December 31, 2018
(c)
(b) Face Value (e)
Identity of Issue, Borrower, or Number (d) Current
(a) Lessor or Similar Party of Shares Cost Value
ABBVIE INC 4.250% 11/14/2028 DD 09/18/18 845,000 $ 837,775 $ 820,316
AEP TEXAS CENTRAL TRANSIT A A5 5.306% 07/01/2021 DD 10/11/06 315,786 321,164 320,892
ALLY AUTO RECEIVABLES TRU 1 A3 1.700% 06/15/2021 DD 01/31/17 900,069 893,283 893,840
AMAZON.COM INC 2.800% 08/22/2024 DD 02/22/18 160,000 159,586 155,514
AMERICAN ELECTRIC POWER CO INC 3.650% 12/01/2021 DD 11/30/18 395,000 394,755 397,966
AMERICAN EXPRESS CO 2.500% 08/01/2022 DD 08/01/17 1,320,000 1,318,957 1,274,038
AMERICAN EXPRESS CREDIT AC 4 A 1.640% 12/15/2021 DD 05/30/17 990,000 989,841 985,377
AMERICAN INTERNATIONAL GROUP I 3.900% 04/01/2026 DD 03/22/16 695,000 694,653 668,639
AMERICAN INTERNATIONAL GROUP I 4.750% 04/01/2048 DD 03/26/18 105,000 102,985 96,088
AMGEN INC 3.875% 11/15/2021 DD 11/10/11 770,000 767,844 780,187
AMGEN INC 2.650% 05/11/2022 DD 05/11/17 275,000 274,412 268,824
ANHEUSER-BUSCH COS LLC / 144A 3.650% 02/01/2026 DD 08/01/18 865,000 820,055 817,901
ANHEUSER-BUSCH INBEV WORLDWIDE 4.600% 04/15/2048 DD 04/04/18 545,000 541,000 488,462
ANTHEM INC 2.500% 11/21/2020 DD 11/21/17 905,000 903,389 892,574
APPLE INC 2.700% 05/13/2022 DD 05/13/15 575,000 579,330 568,595
APPLE INC 3.000% 02/09/2024 DD 02/09/17 535,000 534,765 528,350
APPLE INC 2.750% 01/13/2025 DD 11/13/17 825,000 823,796 795,515
ASTRAZENECA PLC 3.500% 08/17/2023 DD 08/17/18 920,000 916,992 915,179
AT&T INC 3.400% 05/15/2025 DD 05/04/15 2,245,000 2,245,023 2,114,004
AT&T INC 6.000% 08/15/2040 DD 02/15/16 170,000 180,868 171,749
AT&T INC 6.375% 03/01/2041 DD 03/01/16 125,000 149,909 135,365
BAE SYSTEMS PLC 144A 4.750% 10/11/2021 DD 10/11/11 2,140,000 2,137,817 2,209,507
BANK OF AMERICA CORP 4.000% 01/22/2025 DD 01/22/15 105,000 104,471 102,286
BANK OF AMERICA CORP 4.450% 03/03/2026 DD 03/03/16 1,790,000 1,849,073 1,769,594
BANK OF AMERICA CORP VAR RT 10/01/2025 DD 09/18/17 1,145,000 1,145,395 1,085,678
BANK OF AMERICA CORP VAR RT 05/17/2022 DD 05/17/18 1,385,000 1,385,000 1,385,208
BANK OF AMERICA CORP VAR RT 07/23/2024 DD 07/23/18 715,000 715,000 713,298
BANK OF AMERICA CORP 4.100% 07/24/2023 DD 07/23/13 155,000 159,594 157,103
BANK OF NOVA SCOTIA/THE 3.125% 04/20/2021 DD 04/20/18 1,350,000 1,347,435 1,347,867
BAYER US FINANCE II LLC 144A 4.875% 06/25/2048 DD 06/25/18 610,000 631,672 548,231
BB&T CORP 2.750% 04/01/2022 DD 03/21/17 1,055,000 1,053,027 1,037,128
BG ENERGY CAPITAL PLC 144A 4.000% 10/15/2021 DD 10/12/11 1,195,000 1,185,560 1,211,742
BIOGEN INC 3.625% 09/15/2022 DD 09/15/15 295,000 294,764 295,773
BMW US CAPITAL LLC 144A 3.100% 04/12/2021 DD 04/12/18 1,225,000 1,224,265 1,213,228
BP CAPITAL MARKETS AMERICA INC 3.216% 11/28/2023 DD 11/28/18 1,195,000 1,172,773 1,177,756
CAPITAL ONE FINANCIAL CORP 2.400% 10/30/2020 DD 10/31/17 1,040,000 1,039,043 1,018,181
CAPITAL ONE MULTI-ASSET A1 A1 2.000% 01/17/2023 DD 03/27/17 405,000 399,289 400,549

29

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR PRUDENTIAL INSURANCE GA-62233 December 31, 2018 — CELGENE CORP 3.875% 08/15/2025 DD 08/12/15 120,000 127,398 115,519
CHEVRON CORP 2.895% 03/03/2024 DD 03/03/17 795,000 795,000 775,864
CITIBANK CREDIT CARD ISS A3 A3 1.920% 04/07/2022 DD 04/11/17 1,385,000 1,365,293 1,367,341
CITIBANK NA 2.100% 06/12/2020 DD 06/12/17 920,000 919,604 904,774
CITIGROUP INC 4.500% 01/14/2022 DD 11/01/11 1,935,000 2,124,185 1,977,048
CITIGROUP INC 3.400% 05/01/2026 DD 05/02/16 1,200,000 1,190,107 1,128,744
CITIGROUP INC VAR RT 01/24/2023 DD 01/24/18 1,345,000 1,345,000 1,321,126
COMCAST CORP 3.000% 02/01/2024 DD 01/10/17 2,455,000 2,450,311 2,393,478
COMERICA INC 2.125% 05/23/2019 DD 05/23/14 425,000 425,000 423,071
CREDIT SUISSE GROUP AG 144A VAR RT 06/12/2024 DD 06/12/18 985,000 985,000 982,449
CVS HEALTH CORP 3.500% 07/20/2022 DD 07/20/15 630,000 629,729 625,678
CVS HEALTH CORP 4.780% 03/25/2038 DD 03/09/18 995,000 977,308 953,469
DAIMLER FINANCE NORTH AME 144A 2.300% 01/06/2020 DD 01/06/17 765,000 764,648 756,646
DAIMLER FINANCE NORTH AME 144A 3.350% 05/04/2021 DD 05/04/18 875,000 873,985 872,349
DEUTSCHE TELEKOM INTERNAT 144A 2.820% 01/19/2022 DD 01/19/17 975,000 974,951 953,063
DISCOVER CARD EXECUTION A5 A5 3.320% 03/15/2024 DD 10/11/18 765,000 764,980 774,318
DOMINION ENERGY INC 2.750% 01/15/2022 DD 01/12/17 945,000 943,639 920,477
DTE ENERGY CO 3.850% 12/01/2023 DD 11/25/13 955,000 952,947 957,598
DTE ENERGY CO 1.500% 10/01/2019 DD 10/05/16 705,000 704,119 694,552
DUKE ENERGY FLORIDA LLC 3.200% 01/15/2027 DD 01/06/17 705,000 704,577 682,144
EASTMAN CHEMICAL CO 2.700% 01/15/2020 DD 11/20/14 119,000 118,751 118,123
EDISON INTERNATIONAL 2.400% 09/15/2022 DD 08/22/17 755,000 752,524 711,950
EMD FINANCE LLC 144A 2.400% 03/19/2020 DD 03/19/15 795,000 794,960 786,907
EQUINOR ASA 3.700% 03/01/2024 DD 11/08/13 530,000 554,608 539,885
EVERSOURCE ENERGY 2.750% 03/15/2022 DD 03/10/17 2,025,000 2,045,716 1,989,866
EXELON CORP 3.950% 06/15/2025 DD 12/15/15 1,420,000 1,434,795 1,401,568
EXELON GENERATION CO LLC 2.950% 01/15/2020 DD 01/13/15 570,000 569,892 567,258
FEDEX CORP 4.050% 02/15/2048 DD 01/31/18 590,000 537,716 494,214
FORD CREDIT AUTO LEASE TR A A3 1.880% 04/15/2020 DD 03/28/17 738,834 734,072 737,002
FORD CREDIT AUTO OWNE 1 A 144A 2.120% 07/15/2026 DD 01/21/15 2,340,000 2,339,166 2,316,062
FORD CREDIT AUTO OWNE 2 A 144A 2.310% 04/15/2026 DD 10/15/14 1,115,000 1,106,957 1,107,173
FORD CREDIT FLOORPLAN MAS 1 A1 1.760% 02/15/2021 DD 02/17/16 905,000 902,561 903,281
FORD CREDIT FLOORPLAN MAS 3 A1 1.550% 07/15/2021 DD 07/26/16 835,000 823,714 828,529
FORD CREDIT FLOORPLAN MAS 5 A1 1.950% 11/15/2021 DD 12/13/16 340,000 336,223 336,376
FORD MOTOR CREDIT CO LLC 2.597% 11/04/2019 DD 11/04/14 1,415,000 1,415,000 1,399,378
GILEAD SCIENCES INC 3.250% 09/01/2022 DD 09/14/15 465,000 464,344 463,907
GM FINANCIAL CONSUMER AU 3 A2A 2.740% 07/16/2021 DD 07/18/18 845,000 842,939 843,538
GOLDMAN SACHS GROUP INC/THE 5.250% 07/27/2021 DD 07/27/11 760,000 758,316 788,948
GOLDMAN SACHS GROUP INC/THE 4.000% 03/03/2024 DD 03/03/14 385,000 409,193 379,906
GOLDMAN SACHS GROUP INC/THE VAR RT 06/05/2028 DD 06/05/17 390,000 370,442 362,454
GOLDMAN SACHS GROUP INC/THE VAR RT 07/24/2023 DD 07/24/17 1,000,000 1,000,000 952,580
GOLDMAN SACHS GROUP INC/THE 3.750% 02/25/2026 DD 02/25/16 1,105,000 1,086,091 1,044,943

30

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR PRUDENTIAL INSURANCE GA-62233 December 31, 2018 — GOLDMAN SACHS GROUP INC/THE 2.350% 11/15/2021 DD 09/27/16 640,000 635,661 617,094
GOLDMAN SACHS GROUP INC/THE 2.300% 12/13/2019 DD 12/13/16 595,000 594,554 588,949
GUARDIAN LIFE GLOBAL FUND 144A 1.950% 10/27/2021 DD 10/27/16 1,100,000 1,099,274 1,061,918
HSBC HOLDINGS PLC 4.300% 03/08/2026 DD 03/08/16 1,065,000 1,069,552 1,050,537
HSBC HOLDINGS PLC 3.600% 05/25/2023 DD 05/25/16 1,320,000 1,319,512 1,312,463
HSBC HOLDINGS PLC VAR RT 05/18/2024 DD 05/18/18 235,000 235,000 233,731
HSBC HOLDINGS PLC VAR RT 06/19/2029 DD 06/19/18 625,000 625,000 619,525
HUMANA INC 2.625% 10/01/2019 DD 09/19/14 560,000 559,972 557,172
HYUNDAI AUTO RECEIVABLES B A2 3.040% 06/15/2021 DD 12/12/18 255,000 254,979 255,321
INGERSOLL-RAND LUXEMBOURG FINA 2.625% 05/01/2020 DD 10/28/14 680,000 679,551 673,343
JPMORGAN CHASE & CO 2.700% 05/18/2023 DD 05/18/16 2,490,000 2,464,707 2,391,720
JPMORGAN CHASE & CO VAR RT 07/23/2024 DD 07/23/18 2,550,000 2,550,000 2,554,616
JPMORGAN CHASE & CO VAR RT 12/05/2024 DD 12/05/18 780,000 780,000 786,209
KEURIG DR PEPPER INC 144A 4.417% 05/25/2025 DD 05/25/18 250,000 250,000 248,843
KEYBANK NA/CLEVELAND OH 2.300% 09/14/2022 DD 09/14/17 1,350,000 1,349,690 1,299,645
KEYBANK NA/CLEVELAND OH 3.350% 06/15/2021 DD 06/13/18 440,000 439,938 441,373
KINDER MORGAN ENERGY PARTNERS 3.500% 03/01/2021 DD 02/24/14 440,000 437,774 438,645
KINDER MORGAN INC/DE 4.300% 06/01/2025 DD 11/26/14 320,000 321,643 317,475
KINDER MORGAN INC/DE 5.300% 12/01/2034 DD 11/26/14 180,000 151,331 176,429
KINDER MORGAN INC/DE 5.550% 06/01/2045 DD 11/26/14 150,000 164,724 148,556
KINDER MORGAN INC/DE 5.200% 03/01/2048 DD 03/01/18 390,000 389,060 372,298
KRAFT HEINZ FOODS CO 3.500% 06/06/2022 DD 12/06/12 355,000 351,805 351,418
KRAFT HEINZ FOODS CO 3.500% 07/15/2022 DD 07/15/16 575,000 573,643 566,657
KRAFT HEINZ FOODS CO 4.000% 06/15/2023 DD 06/15/18 1,235,000 1,232,567 1,231,764
MASSMUTUAL GLOBAL FUNDING 144A 1.950% 09/22/2020 DD 09/22/17 1,690,000 1,687,938 1,656,268
MCDONALD'S CORP 4.450% 03/01/2047 DD 03/09/17 535,000 543,580 511,514
METROPOLITAN LIFE GLOBAL 144A 2.400% 01/08/2021 DD 01/10/18 950,000 948,965 935,532
METROPOLITAN LIFE GLOBAL 144A 3.450% 10/09/2021 DD 10/09/18 590,000 589,699 592,466
MICROSOFT CORP 2.000% 08/08/2023 DD 08/08/16 245,000 244,267 235,558
MONDELEZ INTERNATIONAL HO 144A 1.625% 10/28/2019 DD 10/28/16 2,295,000 2,290,043 2,263,054
MORGAN STANLEY 4.000% 07/23/2025 DD 07/23/15 365,000 364,701 360,091
MORGAN STANLEY 3.125% 01/23/2023 DD 01/23/18 1,440,000 1,436,760 1,406,794
MORGAN STANLEY 3.875% 04/29/2024 DD 04/28/14 780,000 773,167 776,272
MORGAN STANLEY 2.500% 04/21/2021 DD 04/21/16 2,210,000 2,221,468 2,163,148
MORGAN STANLEY 2.625% 11/17/2021 DD 11/17/16 545,000 542,215 531,936
MORGAN STANLEY 7.300% 05/13/2019 DD 05/13/09 255,000 292,464 258,871
MORGAN STANLEY 3.125% 07/27/2026 DD 07/25/16 140,000 139,048 129,448
MOTIVA ENTERPRISES LLC 144A 5.750% 01/15/2020 DD 01/11/10 151,000 150,704 153,647
NESTLE HOLDINGS INC 144A 3.350% 09/24/2023 DD 09/24/18 1,705,000 1,704,693 1,721,880
NEW YORK LIFE GLOBAL FUND 144A 2.900% 01/17/2024 DD 01/17/17 1,830,000 1,828,390 1,781,670
NISSAN AUTO RECEIVABLES C A2A 3.070% 10/15/2021 DD 12/12/18 390,000 389,999 390,698
NORTHROP GRUMMAN CORP 2.080% 10/15/2020 DD 10/13/17 1,220,000 1,219,817 1,196,454

31

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR PRUDENTIAL INSURANCE GA-62233 December 31, 2018 — ORACLE CORP 2.950% 11/15/2024 DD 11/09/17 740,000 738,831 720,679
PHILIP MORRIS INTERNATIONAL IN 2.000% 02/21/2020 DD 02/21/17 395,000 392,583 390,070
PHILIP MORRIS INTERNATIONAL IN 1.875% 11/01/2019 DD 11/02/17 1,465,000 1,462,114 1,447,376
PUBLIC SERVICE ENTERPRISE GROU 2.650% 11/15/2022 DD 11/06/17 1,360,000 1,358,273 1,315,093
RECKITT BENCKISER TREASUR 144A 2.750% 06/26/2024 DD 06/26/17 1,840,000 1,838,013 1,739,021
REPUBLIC SERVICES INC 3.950% 05/15/2028 DD 05/14/18 755,000 744,445 755,491
ROYAL BANK OF CANADA 2.750% 02/01/2022 DD 01/31/17 1,220,000 1,219,719 1,200,480
SEMPRA ENERGY 2.400% 03/15/2020 DD 03/13/15 760,000 759,362 749,322
SEMPRA ENERGY 1.625% 10/07/2019 DD 10/07/16 420,000 419,572 414,196
SEMPRA ENERGY 2.900% 02/01/2023 DD 01/12/18 350,000 348,674 340,095
SIEMENS FINANCIERINGSMAAT 144A 2.900% 05/27/2022 DD 05/27/15 625,000 625,000 613,631
SIMON PROPERTY GROUP LP 2.750% 06/01/2023 DD 12/11/17 1,275,000 1,272,692 1,235,526
SOUTHERN CO/THE 2.950% 07/01/2023 DD 05/24/16 1,165,000 1,164,010 1,125,041
STATE STREET CORP 1.950% 05/19/2021 DD 05/19/16 265,000 264,862 257,559
SYSCO CORP 3.550% 03/15/2025 DD 03/19/18 895,000 890,346 881,351
TOYOTA MOTOR CREDIT CORP 2.600% 01/11/2022 DD 01/09/17 660,000 659,109 649,493
TOYOTA MOTOR CREDIT CORP 2.950% 04/13/2021 DD 04/13/18 460,000 459,816 460,069
TRANSCANADA PIPELINES LTD 4.625% 03/01/2034 DD 02/28/14 530,000 527,604 506,622
U S TREASURY BOND 2.500% 02/15/2045 DD 02/15/15 4,620,000 4,134,520 4,186,875
U S TREASURY BOND 2.500% 02/15/2046 DD 02/15/16 19,100,000 18,378,892 17,243,671
U S TREASURY BOND 2.500% 05/15/2046 DD 05/15/16 9,400,000 8,486,149 8,477,296
U S TREASURY BOND 2.250% 08/15/2046 DD 08/15/16 2,370,000 1,971,400 2,025,521
U S TREASURY BOND 3.000% 08/15/2048 DD 08/15/18 1,620,000 1,513,980 1,612,337
U S TREASURY NOTE 1.500% 07/15/2020 DD 07/15/17 2,770,000 2,718,891 2,726,622
U S TREASURY NOTE 1.625% 10/15/2020 DD 10/15/17 8,770,000 8,585,415 8,633,276
U S TREASURY NOTE 2.250% 03/31/2020 DD 03/31/18 6,990,000 6,943,669 6,961,341
U S TREASURY NOTE 2.375% 04/30/2020 DD 04/30/18 2,410,000 2,400,378 2,403,589
U S TREASURY NOTE 2.500% 05/31/2020 DD 05/31/18 20,795,000 20,721,774 20,776,285
U S TREASURY NOTE 2.875% 08/15/2028 DD 08/15/18 4,670,000 4,738,408 4,742,245
U S TREASURY NOTE 1.375% 04/30/2020 DD 04/30/15 5,475,000 5,375,367 5,390,740
U S TREASURY NOTE 1.375% 08/31/2020 DD 08/31/15 25,325,000 24,674,845 24,847,117
U S TREASURY NOTE 1.375% 09/30/2020 DD 09/30/15 7,890,000 7,694,060 7,734,962
U S TREASURY NOTE 2.125% 08/31/2020 DD 08/31/13 900,000 889,699 894,024
U S TREASURY NOTE 1.500% 05/15/2020 DD 05/15/17 18,215,000 17,912,913 17,955,983
U S TREASURY NOTE 1.500% 05/31/2020 DD 05/31/15 13,805,000 13,558,645 13,602,205
U S TREASURY NOTE 1.625% 07/31/2020 DD 07/31/15 24,195,000 23,775,193 23,851,915
U S TREASURY NOTE 1.500% 06/15/2020 DD 06/15/17 25,555,000 25,097,192 25,183,686
U S TREASURY NOTE 2.500% 06/30/2020 DD 06/30/18 19,500,000 19,424,261 19,484,790
UNION PACIFIC CORP 3.950% 09/10/2028 DD 06/08/18 1,005,000 1,011,070 1,003,633
UNITED TECHNOLOGIES CORP 1.950% 11/01/2021 DD 11/01/16 245,000 244,454 235,188
UNITED TECHNOLOGIES CORP 3.950% 08/16/2025 DD 08/16/18 605,000 603,972 600,317
UNITEDHEALTH GROUP INC 4.625% 07/15/2035 DD 07/23/15 300,000 319,608 317,997

32

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR PRUDENTIAL INSURANCE GA-62233 December 31, 2018 — US BANCORP 2.625% 01/24/2022 DD 01/24/17 1,985,000 1,981,586 1,954,848
VERIZON COMMUNICATIONS INC 4.500% 08/10/2033 DD 08/10/17 1,430,000 1,425,967 1,411,539
VERIZON OWNER TRUST 1A A 144A 1.420% 01/20/2021 DD 07/20/16 906,911 903,532 902,476
VERIZON OWNER TRUST 1A A 144A 2.060% 09/20/2021 DD 03/14/17 1,175,000 1,175,413 1,166,235
VERIZON OWNER TRUST 2A A 144A 1.680% 05/20/2021 DD 11/22/16 2,799,812 2,783,437 2,783,832
VERIZON OWNER TRUST 2A A 144A 1.920% 12/20/2021 DD 06/20/17 1,265,000 1,264,806 1,252,046
VODAFONE GROUP PLC 5.250% 05/30/2048 DD 05/30/18 635,000 641,246 596,163
WALGREENS BOOTS ALLIANCE INC 3.300% 11/18/2021 DD 11/18/14 335,000 334,085 333,459
WARNER MEDIA LLC 3.550% 06/01/2024 DD 05/28/14 2,145,000 2,143,027 2,069,196
WELLS FARGO & CO 2.100% 07/26/2021 DD 07/25/16 3,605,000 3,583,367 3,492,452
WELLS FARGO & CO 2.625% 07/22/2022 DD 07/24/17 1,350,000 1,348,812 1,301,751
WISCONSIN PUBLIC SERVICE CORP 3.350% 11/21/2021 DD 11/21/18 345,000 344,776 348,367
U S TREASURY BOND 2.500% 05/15/2046 DD 05/15/16 2,650,000 (2,393,281 ) (2,402,066 )
U S TREASURY BOND 2.750% 11/15/2042 DD 11/15/12 (2,790,000 ) 2,670,117 2,680,291
U S TREASURY NOTE 2.875% 08/15/2028 DD 08/15/18 4,670,000 (4,738,408 ) (4,789,486 )
U S TREASURY NOTE 2.750% 08/15/2021 DD 08/15/18 (4,995,000 ) 5,026,609 5,078,866
US 10 YR TREAS NTS FUT (CBT) EXP MAR 19 441 1,156,733 1,156,733
US 10YR ULTRA FUTURE (CBT) EXP MAR 19 141 340,985 340,985
US 2YR NOTE FUTURE (CBT) EXP MAR 19 518 633,806 633,806
US TREAS BD FUTURE (CBT) EXP MAR 19 (382 ) (2,527,766 ) (2,527,766 )
INTEREST BEARING CASH TEMPORARY INVESTMENTS 3,257,808 3,257,808
TOTAL UNDERLYING ASSETS $ 363,284,613 360,511,327
ADJUSTMENT FROM MARKET TO CONTRACT VALUE (4,270,844 )
CONTRACT VALUE $ 356,240,483

33

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018
(c)
(b) Face Value (e)
Identity of Issue, Borrower, or Number (d) Current
(a) Lessor or Similar Party of Shares Cost Value
AIG GLOBAL FUNDING 144A 3.350% 06/25/2021 DD 06/27/18 315,000 $ 314,981 $ 313,742
AIR LEASE CORP 2.125% 01/15/2020 DD 10/03/16 290,000 288,965 285,810
AIR LIQUIDE FINANCE SA 144A 1.750% 09/27/2021 DD 09/27/16 1,000,000 972,810 957,280
ALIMENTATION COUCHE-TARD 144A 2.350% 12/13/2019 DD 12/14/17 280,000 279,966 277,388
ALLY MASTER OWNER TRUST 2 A 3.290% 05/15/2023 DD 05/30/18 400,000 399,996 402,292
AMAZON.COM INC 1.900% 08/21/2020 DD 02/21/18 565,000 564,689 556,864
AMERICAN EXPRESS CREDIT AC 9 A VAR RT 04/15/2026 DD 09/24/18 310,000 310,000 307,929
AMERICAN HONDA FINANCE CORP 2.250% 08/15/2019 DD 09/09/14 1,050,000 1,048,058 1,045,065
APPLE INC 1.550% 08/04/2021 DD 08/04/16 1,295,000 1,272,558 1,255,619
ASIAN DEVELOPMENT BANK 2.250% 01/20/2021 DD 01/19/18 630,000 629,326 626,138
AXA EQUITABLE HOLDINGS IN 144A 3.900% 04/20/2023 DD 04/20/18 435,000 434,356 429,610
BANK OF AMERICA CORP 5.700% 01/24/2022 DD 01/24/12 620,000 702,212 657,119
BANK OF AMERICA CORP VAR RT 05/17/2022 DD 05/17/18 320,000 320,000 320,048
BARCLAYS PLC VAR RT 02/15/2023 DD 11/15/18 200,000 199,962 198,312
BB&T CORP 2.750% 04/01/2022 DD 03/21/17 815,000 806,043 801,194
BERKSHIRE HATHAWAY ENERGY CO 2.800% 01/15/2023 DD 01/05/18 850,000 833,612 831,079
BOEING CO/THE 2.125% 03/01/2022 DD 02/16/17 625,000 628,838 606,563
CAPITAL ONE NA 2.950% 07/23/2021 DD 07/24/14 800,000 827,368 786,840
CHEVRON CORP 1.961% 03/03/2020 DD 03/03/15 360,000 360,000 356,386
CHUBB INA HOLDINGS INC 2.300% 11/03/2020 DD 11/03/15 315,000 315,916 310,496
CISCO SYSTEMS INC 2.200% 02/28/2021 DD 02/29/16 1,000,000 1,009,610 986,750
CITIBANK CREDIT CARD ISS A6 A6 3.210% 12/07/2024 DD 08/17/18 380,000 379,936 383,887
CITIBANK NA 3.400% 07/23/2021 DD 07/23/18 300,000 299,880 300,381
CITIZENS BANK NA/PROVIDENCE RI 2.550% 05/13/2021 DD 05/13/16 250,000 249,768 244,520
CK HUTCHISON INTERNATIONA 144A 2.250% 09/29/2020 DD 09/29/17 610,000 608,329 599,837
COMCAST CORP 3.300% 10/01/2020 DD 10/05/18 525,000 524,853 527,011
COMM 2013-CCRE8 MORTGAG CR8 A4 3.334% 06/10/2046 DD 06/01/13 240,208 240,029 240,556
CONNECTICUT LIGHT & POWER CO/T 2.500% 01/15/2023 DD 01/15/13 1,050,000 1,022,343 1,030,323
CVS HEALTH CORP 3.700% 03/09/2023 DD 03/09/18 530,000 525,251 524,329
DAIMLER FINANCE NORTH AME 144A VAR RT 05/04/2021 DD 05/04/18 300,000 300,000 297,327
DIAGEO CAPITAL PLC 4.828% 07/15/2020 DD 05/14/10 805,000 853,331 827,049
DOLLAR TREE INC 3.700% 05/15/2023 DD 04/19/18 100,000 99,814 98,334
DUKE ENERGY CAROLINAS LLC 3.900% 06/15/2021 DD 05/19/11 1,000,000 1,031,000 1,013,450
EASTMAN CHEMICAL CO 2.700% 01/15/2020 DD 11/20/14 280,000 283,660 277,936
ESTEE LAUDER COS INC/THE 1.700% 05/10/2021 DD 05/10/16 975,000 965,644 948,275
EXXON MOBIL CORP 2.222% 03/01/2021 DD 03/03/16 950,000 960,251 936,320
FEDERAL HOME LN BK CONS BD 1.550% 08/28/2019 DD 08/28/17 1,300,000 1,300,000 1,291,056
FEDERAL HOME LN BK CONS BD 1.500% 10/21/2019 DD 10/13/17 1,285,000 1,282,726 1,273,037

34

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — FEDERAL HOME LN BK CONS BD 2.300% 01/26/2021 DD 01/26/18 1,030,000 1,022,883 1,023,923
FEDERAL HOME LN BK CONS BD 2.625% 05/28/2020 DD 05/21/18 945,000 944,660 946,361
FEDERAL HOME LN MTG CORP 2.000% 11/20/2020 DD 11/20/17 1,280,000 1,279,616 1,262,715
FEDERAL HOME LN MTG CORP 3.350% 07/26/2023 DD 07/26/18 985,000 985,000 985,108
FEDERAL HOME LN MTG CORP 2.500% 04/23/2020 DD 04/19/18 470,000 469,897 469,347
FNMA POOL #0BM4416 5.000% 10/01/2048 DD 08/01/18 268,568 286,822 285,359
GILEAD SCIENCES INC 2.550% 09/01/2020 DD 09/14/15 550,000 551,829 545,551
GOLDMAN SACHS GROUP INC/THE VAR RT 05/15/2026 DD 05/17/18 320,000 320,000 307,126
GOLDMAN SACHS GROUP INC/THE 2.875% 02/25/2021 DD 02/25/16 1,000,000 1,028,260 982,900
GOLDMAN SACHS GROUP INC/THE 2.550% 10/23/2019 DD 10/23/14 180,000 183,837 178,862
HOME DEPOT INC/THE 2.625% 06/01/2022 DD 06/02/15 625,000 637,338 618,444
HONEYWELL INTERNATIONAL INC 1.850% 11/01/2021 DD 10/31/16 640,000 639,968 618,515
HUNTINGTON BANCSHARES INC/OH 3.150% 03/14/2021 DD 03/14/16 290,000 289,429 288,710
INTEL CORP 2.450% 07/29/2020 DD 07/29/15 1,000,000 1,019,650 995,990
INTERNATIONAL BANK FOR RECONST 1.250% 07/26/2019 DD 01/28/16 1,240,000 1,234,011 1,230,365
JACKSON NATIONAL LIFE GLO 144A VAR RT 06/11/2021 DD 06/11/18 305,000 305,000 303,094
JPMORGAN CHASE & CO 2.550% 03/01/2021 DD 03/01/16 850,000 863,708 838,015
LLOYDS BANKING GROUP PLC 4.050% 08/16/2023 DD 08/16/18 360,000 359,903 355,651
MARATHON PETROLEUM CORP 5.125% 03/01/2021 DD 09/01/11 575,000 628,538 591,600
MCCORMICK & CO INC/MD 2.700% 08/15/2022 DD 08/11/17 565,000 564,944 547,858
MEDTRONIC INC 2.500% 03/15/2020 DD 03/15/15 250,000 258,013 248,720
MERCK & CO INC 1.850% 02/10/2020 DD 02/10/15 850,000 848,751 842,393
METROPOLITAN LIFE GLOBAL 144A 1.950% 09/15/2021 DD 09/15/16 525,000 503,444 506,877
METROPOLITAN LIFE GLOBAL 144A 1.750% 09/19/2019 DD 09/19/17 290,000 289,803 287,187
MICROSOFT CORP 1.100% 08/08/2019 DD 08/08/16 970,000 968,936 960,349
MORGAN STANLEY 2.625% 11/17/2021 DD 11/17/16 1,200,000 1,206,072 1,171,236
NBCUNIVERSAL MEDIA LLC 4.375% 04/01/2021 DD 04/01/11 575,000 622,259 589,364
NESTLE HOLDINGS INC 144A 3.100% 09/24/2021 DD 09/24/18 325,000 324,880 326,882
NOVARTIS CAPITAL CORP 1.800% 02/14/2020 DD 02/17/17 1,000,000 1,006,540 988,800
ORACLE CORP 3.875% 07/15/2020 DD 07/15/11 800,000 871,712 812,120
PNC BANK NA 2.625% 02/17/2022 DD 02/17/17 600,000 604,362 586,422
PRICOA GLOBAL FUNDING I 144A 2.450% 09/21/2022 DD 09/21/17 480,000 479,506 463,906
PRINCIPAL LIFE GLOBAL FUN 144A 2.375% 11/21/2021 DD 11/21/16 620,000 618,115 603,068
PROCTER & GAMBLE CO/THE 1.850% 02/02/2021 DD 02/02/16 1,190,000 1,189,774 1,168,735
PROTECTIVE LIFE GLOBAL FU 144A 2.161% 09/25/2020 DD 09/27/17 635,000 635,000 623,672
PSNH FUNDING LLC 3 1 A1 3.094% 02/01/2026 DD 05/08/18 350,000 349,992 352,037
PUBLIC SERVICE ELECTRIC & GAS 1.900% 03/15/2021 DD 03/03/16 1,200,000 1,219,320 1,171,800
ROCHE HOLDINGS INC 144A 2.250% 09/30/2019 DD 09/29/14 920,000 918,657 913,946
ROCKWELL COLLINS INC 2.800% 03/15/2022 DD 04/10/17 650,000 658,743 631,794
SALESFORCE.COM INC 3.250% 04/11/2023 DD 04/11/18 325,000 324,805 326,671
SAN DIEGO GAS & ELECTRIC CO 3.000% 08/15/2021 DD 08/18/11 1,250,000 1,294,975 1,244,825
SIEMENS FINANCIERINGSMAAT 144A 2.700% 03/16/2022 DD 03/16/17 770,000 768,252 755,470

35

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — SOUTHERN CO/THE 1.850% 07/01/2019 DD 05/24/16 405,000 404,923 403,016
SPRINT SPECTRUM CO LLC / 144A VAR RT 03/20/2023 DD 10/27/16 343,750 345,381 339,453
STARBUCKS CORP 2.100% 02/04/2021 DD 02/04/16 940,000 943,667 916,904
SYSCO CORP 2.600% 10/01/2020 DD 09/28/15 840,000 840,637 830,945
TJX COS INC/THE 2.750% 06/15/2021 DD 06/05/14 450,000 472,401 446,477
TORONTO-DOMINION BANK/THE 3.150% 09/17/2020 DD 09/17/18 220,000 219,954 220,513
TOYOTA MOTOR CORP 3.183% 07/20/2021 DD 07/20/18 330,000 330,000 330,149
U S TREASURY NOTE 2.750% 04/30/2023 DD 04/30/18 7,495,000 7,491,670 7,571,974
U S TREASURY NOTE 2.875% 10/31/2023 DD 10/31/18 4,375,000 4,353,467 4,447,800
U S TREASURY NOTE 2.000% 11/30/2020 DD 11/30/13 4,865,000 5,016,415 4,819,950
U S TREASURY NOTE 1.750% 09/30/2022 DD 09/30/15 2,655,000 2,604,995 2,584,881
U S TREASURY NOTE 1.125% 09/30/2021 DD 09/30/16 5,745,000 5,551,182 5,540,995
U S TREASURY NOTE 1.625% 08/15/2022 DD 08/15/12 4,150,000 3,993,240 4,026,330
U S TREASURY NOTE 2.000% 12/31/2021 DD 12/31/16 2,160,000 2,173,264 2,130,473
U S TREASURY NOTE 2.000% 07/31/2020 DD 07/31/13 2,990,000 3,062,443 2,965,362
U S TREASURY NOTE 1.750% 06/30/2022 DD 06/30/17 3,095,000 3,082,127 3,020,039
U S TREASURY NOTE 2.625% 07/31/2020 DD 07/31/18 640,000 639,931 640,774
U S TREASURY NOTE 2.750% 07/31/2023 DD 07/31/18 2,610,000 2,596,814 2,637,823
UNILEVER CAPITAL CORP 1.375% 07/28/2021 DD 07/28/16 385,000 381,935 368,949
VALERO ENERGY CORP 6.125% 02/01/2020 DD 02/08/10 635,000 716,589 653,555
VOLKSWAGEN AUTO LOAN ENHA 1 A3 3.020% 11/21/2022 DD 07/03/18 365,000 364,947 365,069
VOLKSWAGEN GROUP OF AMERI 144A 2.400% 05/22/2020 DD 05/22/15 305,000 299,358 300,257
WALMART INC 3.125% 06/23/2021 DD 06/27/18 290,000 289,986 292,062
WELLS FARGO & CO 3.500% 03/08/2022 DD 03/08/12 1,200,000 1,244,820 1,196,004
WELLS FARGO BANK NA VAR RT 07/23/2021 DD 07/23/18 300,000 300,069 299,709
WESTPAC BANKING CORP 3.050% 05/15/2020 DD 05/15/18 220,000 219,963 220,154
ZOETIS INC 3.250% 08/20/2021 DD 08/20/18 55,000 54,938 54,837
ABBOTT LABORATORIES 2.900% 11/30/2021 DD 11/22/16 600,000 594,984 594,786
AETNA INC 2.800% 06/15/2023 DD 06/09/16 205,000 204,701 194,957
ALABAMA POWER CO 2.450% 03/30/2022 DD 03/03/17 255,000 254,791 248,265
ALLERGAN FUNDING SCS 3.450% 03/15/2022 DD 03/12/15 370,000 371,616 364,095
ALLY MASTER OWNER TRUST 4 A 3.300% 07/17/2023 DD 08/15/18 310,000 309,956 311,773
ALTRIA GROUP INC 2.850% 08/09/2022 DD 08/09/12 210,000 209,563 201,596
AMERICAN EXPRESS CO 3.700% 11/05/2021 DD 11/06/18 190,000 189,958 191,706
AMERICAN EXPRESS CO 4.200% 11/06/2025 DD 11/06/18 190,000 189,578 193,684
AMERICREDIT AUTOMOBILE RE 2 A3 3.150% 03/20/2023 DD 08/15/18 210,000 209,965 210,775
AMGEN INC 3.875% 11/15/2021 DD 11/10/11 200,000 205,038 202,646
AMGEN INC 2.650% 05/11/2022 DD 05/11/17 130,000 130,919 127,080
ANHEUSER-BUSCH COS LLC / 144A 3.650% 02/01/2026 DD 08/01/18 815,000 771,747 770,623
ANHEUSER-BUSCH INBEV WORLDWIDE 3.500% 01/12/2024 DD 04/04/18 440,000 437,831 430,386
ANTHEM INC 3.650% 12/01/2027 DD 11/21/17 195,000 194,608 186,309

36

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — ANTHEM INC 4.101% 03/01/2028 DD 03/02/18 85,000 83,485 83,312
ANTHEM INC 3.125% 05/15/2022 DD 05/07/12 155,000 156,273 152,723
APPALACHIAN POWER CO 3.300% 06/01/2027 DD 05/11/17 170,000 169,133 162,411
APPLE INC 2.500% 02/09/2025 DD 02/09/15 75,000 74,894 70,827
APPLE INC 2.850% 02/23/2023 DD 02/23/16 100,000 100,178 98,774
APPLE INC 3.000% 02/09/2024 DD 02/09/17 35,000 34,985 34,565
ARI FLEET LEASE TRUS B A3 144A 3.430% 08/16/2027 DD 09/27/18 138,000 137,979 138,519
AT&T INC 4.125% 02/17/2026 DD 02/09/16 155,000 164,905 151,466
AT&T INC 4.250% 03/01/2027 DD 02/09/17 50,000 50,232 48,918
BA CREDIT CARD TRUST A1 A VAR RT 06/15/2021 DD 02/13/14 495,000 495,000 495,035
BAE SYSTEMS HOLDINGS INC 144A 3.800% 10/07/2024 DD 10/07/14 200,000 199,406 199,594
BANK 2017-BNK9 BNK9 A4 3.538% 11/15/2054 DD 12/01/17 562,000 578,857 557,881
BANK 2018-BNK10 BN10 A5 3.688% 02/15/2061 DD 02/01/18 390,000 401,698 387,933
BANK OF AMERICA CORP 2.250% 04/21/2020 DD 04/21/15 150,000 147,864 148,397
BANK OF AMERICA CORP 3.950% 04/21/2025 DD 04/21/15 55,000 54,838 53,292
BANK OF AMERICA CORP 4.450% 03/03/2026 DD 03/03/16 300,000 318,840 296,580
BANK OF AMERICA CORP VAR RT 01/20/2028 DD 01/20/17 185,000 182,073 179,469
BANK OF AMERICA CORP VAR RT 04/24/2028 DD 04/24/17 170,000 170,000 163,076
BANK OF AMERICA CORP VAR RT 07/21/2021 DD 07/21/17 285,000 285,000 279,901
BANK OF AMERICA CORP VAR RT 01/23/2022 DD 01/23/18 185,000 185,000 182,194
BANK OF AMERICA CORP VAR RT 01/23/2026 DD 01/23/18 200,000 200,000 191,218
BANK OF AMERICA CORP VAR RT 12/20/2023 DD 12/20/17 53,000 53,010 51,517
BANK OF AMERICA CORP VAR RT 12/20/2028 DD 12/20/17 100,000 92,675 93,415
BANK OF AMERICA CORP VAR RT 07/23/2024 DD 07/23/18 505,000 505,000 503,798
BANK OF NEW YORK MELLON CORP/T VAR RT 10/30/2023 DD 10/31/16 490,000 490,000 490,862
BANK OF NEW YORK MELLON CORP/T 2.450% 11/27/2020 DD 11/27/15 25,000 25,343 24,709
BAT CAPITAL CORP 2.297% 08/14/2020 DD 08/14/18 440,000 433,374 429,722
BAT CAPITAL CORP 3.222% 08/15/2024 DD 08/15/18 275,000 275,000 253,300
BAYER US FINANCE II LLC 144A 4.250% 12/15/2025 DD 06/25/18 275,000 274,480 267,647
BECTON DICKINSON AND CO 2.894% 06/06/2022 DD 06/06/17 530,000 530,000 513,316
BENCHMARK 2018-B1 MORTGA B1 A5 VAR RT 01/15/2051 DD 01/01/18 155,000 159,639 155,127
BERKSHIRE HATHAWAY ENERGY CO 2.400% 02/01/2020 DD 12/04/14 175,000 176,639 173,857
BNP PARIBAS SA 144A 3.800% 01/10/2024 DD 01/10/17 200,000 199,392 194,724
BNP PARIBAS SA 144A 3.375% 01/09/2025 DD 01/09/18 200,000 199,642 188,216
BNP PARIBAS SA 144A 4.400% 08/14/2028 DD 08/14/18 200,000 198,928 195,208
BOSTON GAS CO 144A 3.150% 08/01/2027 DD 08/03/17 60,000 59,944 57,237
BOSTON SCIENTIFIC CORP 2.850% 05/15/2020 DD 05/12/15 93,000 92,328 92,395
BOSTON SCIENTIFIC CORP 4.000% 03/01/2028 DD 02/26/18 180,000 178,289 174,713
BP CAPITAL MARKETS AMERICA INC 3.790% 02/06/2024 DD 11/06/18 385,000 385,000 389,154
BPCE SA 144A 2.750% 01/11/2023 DD 01/11/18 350,000 347,008 335,745
BROADCOM CORP / BROADCOM CAYMA 2.375% 01/15/2020 DD 01/15/18 120,000 118,397 118,501

37

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — BROADCOM CORP / BROADCOM CAYMA 3.625% 01/15/2024 DD 01/15/18 575,000 571,564 544,008
BROADCOM CORP / BROADCOM CAYMA 3.875% 01/15/2027 DD 01/15/18 225,000 202,428 201,850
BROADCOM CORP / BROADCOM CAYMA 3.125% 01/15/2025 DD 10/17/17 115,000 109,222 103,817
CANADIAN NATURAL RESOURCES LTD 2.950% 01/15/2023 DD 05/30/17 25,000 24,858 23,896
CANADIAN NATURAL RESOURCES LTD 3.850% 06/01/2027 DD 05/30/17 275,000 275,220 259,413
CARDINAL HEALTH INC 2.616% 06/15/2022 DD 06/12/17 285,000 285,000 274,552
CARMAX AUTO OWNER TRUST 2 3 A4 1.600% 01/18/2022 DD 07/20/16 465,000 454,538 455,798
CARMAX AUTO OWNER TRUST 2 4 A3 3.360% 09/15/2023 DD 10/24/18 210,000 209,998 211,439
CATERPILLAR FINANCIAL SERVICES 1.850% 09/04/2020 DD 09/07/17 250,000 249,790 245,133
CBS CORP 2.900% 06/01/2023 DD 12/01/18 205,000 203,214 195,386
CENTERPOINT ENERGY INC 2.500% 09/01/2022 DD 08/10/17 200,000 200,055 191,282
CHARTER COMMUNICATIONS OPERATI 4.908% 07/23/2025 DD 07/23/16 565,000 581,628 561,813
CHARTER COMMUNICATIONS OPERATI 4.464% 07/23/2022 DD 07/23/16 215,000 215,684 217,066
CHESAPEAKE FUNDING 2A A1 144A 3.230% 08/15/2030 DD 08/16/18 305,000 304,965 306,379
CIGNA CORP 144A 4.125% 11/15/2025 DD 09/17/18 180,000 179,851 179,746
CIGNA CORP 144A 4.375% 10/15/2028 DD 09/17/18 945,000 943,249 950,273
CIGNA HOLDING CO 3.050% 10/15/2027 DD 09/14/17 390,000 378,175 356,745
CITIGROUP COMMERCIAL M GC35 A4 3.818% 11/10/2048 DD 12/01/15 300,000 308,991 304,680
CITIGROUP COMMERCIAL MOR P1 A5 3.717% 09/15/2048 DD 08/01/15 264,000 285,594 267,464
CITIGROUP INC 4.450% 09/29/2027 DD 09/29/15 155,000 155,886 149,392
CITIGROUP INC 3.700% 01/12/2026 DD 01/12/16 135,000 134,820 129,797
CITIGROUP INC 4.600% 03/09/2026 DD 03/09/16 25,000 24,951 24,674
CITIGROUP INC 2.700% 03/30/2021 DD 03/30/16 540,000 542,328 531,981
CITIGROUP INC VAR RT 01/10/2028 DD 01/10/17 240,000 233,256 231,578
CITIGROUP INC VAR RT 05/17/2024 DD 05/17/17 190,000 190,000 185,366
CNH EQUIPMENT TRUST 2018- B A4 3.370% 05/15/2024 DD 09/26/18 265,000 264,979 268,318
CNOOC PETROLEUM NORTH AMERICA 6.200% 07/30/2019 DD 07/30/09 275,000 320,427 279,747
COCA-COLA EUROPEAN PARTNERS PL 3.500% 09/15/2020 DD 04/12/18 450,000 452,228 451,539
COMCAST CORP 3.375% 08/15/2025 DD 05/27/15 95,000 91,228 92,570
COMCAST CORP 2.350% 01/15/2027 DD 07/19/16 165,000 147,049 147,492
COMCAST CORP 3.450% 10/01/2021 DD 10/05/18 165,000 164,833 166,673
COMCAST CORP 3.950% 10/15/2025 DD 10/05/18 180,000 179,779 182,131
COMCAST CORP 4.150% 10/15/2028 DD 10/05/18 130,000 129,935 132,006
COMM 2015-CCRE26 MORTG CR26 A4 3.630% 10/10/2048 DD 10/01/15 453,000 466,201 456,085
COMM 2015-LC19 MORTGAG LC19 A4 3.183% 02/10/2048 DD 02/01/15 320,000 317,900 315,597
COMMERCIAL MORTGAGE PA CR28 A4 3.762% 02/10/2049 DD 02/01/16 425,000 427,955 429,947
COMMIT TO PUR FHLMC GOLD SFM 3.000% 01/01/2034 DD 01/01/19 900,000 889,453 896,814
COMMIT TO PUR FHLMC GOLD SFM 4.000% 01/01/2049 DD 01/01/19 3,300,000 3,336,609 3,364,119
COMMIT TO PUR FHLMC GOLD SFM 4.500% 01/01/2049 DD 01/01/19 1,000,000 1,031,563 1,035,090

38

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2049 DD 01/01/19 1,700,000 1,671,105 1,699,694
COMMIT TO PUR FNMA SF MTG 4.000% 01/01/2049 DD 01/01/19 3,100,000 3,127,609 3,160,078
COMMIT TO PUR GNMA II JUMBOS 3.500% 11/01/2048 DD 11/01/18 8,105,000 8,078,488 8,155,008
COMMIT TO PUR GNMA II JUMBOS 4.000% 01/20/2049 DD 01/01/19 2,200,000 2,236,781 2,252,602
COMMIT TO PUR GNMA II JUMBOS 4.500% 01/20/2048 DD 01/01/19 1,300,000 1,341,719 1,345,175
COMMONWEALTH EDISON CO 3.700% 08/15/2028 DD 08/14/18 225,000 224,460 225,668
CONAGRA BRANDS INC 3.800% 10/22/2021 DD 10/22/18 130,000 129,851 130,046
CONAGRA BRANDS INC 4.600% 11/01/2025 DD 10/22/18 30,000 29,914 30,095
CONSTELLATION BRANDS INC 4.750% 12/01/2025 DD 12/04/15 322,000 333,606 328,852
CONSTELLATION BRANDS INC 2.700% 05/09/2022 DD 05/09/17 30,000 29,935 28,976
CONSTELLATION BRANDS INC 2.650% 11/07/2022 DD 11/07/17 360,000 358,495 344,711
CONSTELLATION BRANDS INC 3.200% 02/15/2023 DD 02/07/18 165,000 164,847 160,002
CONSTELLATION BRANDS INC 4.400% 11/15/2025 DD 10/29/18 95,000 94,821 95,188
COX COMMUNICATIONS INC 144A 2.950% 06/30/2023 DD 05/01/13 55,000 52,264 52,923
COX COMMUNICATIONS INC 144A 3.150% 08/15/2024 DD 08/07/17 294,000 289,786 282,828
CREDIT ACCEPTANCE AU 3A A 144A 3.550% 08/15/2027 DD 08/23/18 285,000 284,948 287,157
CREDIT SUISSE GROUP FUNDING GU 3.800% 09/15/2022 DD 09/15/15 475,000 482,871 471,537
CROWN CASTLE INTERNATIONAL COR 3.200% 09/01/2024 DD 08/01/17 280,000 273,422 265,639
CROWN CASTLE INTERNATIONAL COR 3.150% 07/15/2023 DD 01/16/18 150,000 149,445 144,194
CSAIL 2015-C1 COMMERCIAL C1 A4 3.505% 04/15/2050 DD 03/01/15 372,000 396,747 372,945
CSAIL 2015-C3 COMMERCIAL C3 A3 3.447% 08/15/2048 DD 08/01/15 275,000 284,550 273,834
CSAIL 2015-C3 COMMERCIAL C3 A4 3.718% 08/15/2048 DD 08/01/15 256,000 264,940 258,488
CSAIL 2015-C4 COMMERCIAL C4 A4 3.808% 11/15/2048 DD 11/01/15 286,000 294,578 289,787
CSX CORP 3.250% 06/01/2027 DD 05/01/17 240,000 239,707 225,806
CVS HEALTH CORP 2.750% 12/01/2022 DD 11/29/12 30,000 29,958 28,872
CVS HEALTH CORP 3.500% 07/20/2022 DD 07/20/15 175,000 174,925 173,800
CVS HEALTH CORP 2.875% 06/01/2026 DD 05/25/16 125,000 117,375 113,853
CVS HEALTH CORP 3.700% 03/09/2023 DD 03/09/18 675,000 668,952 667,778
CVS HEALTH CORP 4.100% 03/25/2025 DD 03/09/18 445,000 440,643 440,559
DBJPM 16-C3 MORTGAGE TRU C3 A5 2.890% 08/10/2049 DD 08/01/16 576,000 569,389 549,596
DELTA AIR LINES INC 3.800% 04/19/2023 DD 04/19/18 215,000 213,404 211,560
DISCOVERY COMMUNICATIONS 144A 2.800% 06/15/2020 DD 12/15/17 138,000 136,834 136,537
DISCOVERY COMMUNICATIONS 144A 3.950% 06/15/2025 DD 12/15/17 110,000 109,967 105,663
DISCOVERY COMMUNICATIONS LLC 4.900% 03/11/2026 DD 03/11/16 155,000 163,544 156,142
DISCOVERY COMMUNICATIONS LLC 3.800% 03/13/2024 DD 03/13/17 183,000 185,930 178,522
DISCOVERY COMMUNICATIONS LLC 2.950% 03/20/2023 DD 09/21/17 95,000 94,880 90,890
DISCOVERY COMMUNICATIONS LLC 3.950% 03/20/2028 DD 09/21/17 95,000 89,269 88,088
DOMINION ENERGY INC 3.900% 10/01/2025 DD 09/24/15 405,000 407,863 403,502
DRIVE AUTO RECEIVABLES TR 5 A3 3.340% 10/15/2022 DD 11/20/18 455,000 454,955 456,684
DTE ENERGY CO 1.500% 10/01/2019 DD 10/05/16 150,000 149,813 147,777
DUKE ENERGY CAROLINAS LLC 3.350% 05/15/2022 DD 11/08/18 175,000 174,599 176,633

39

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — DUKE ENERGY CORP 3.750% 04/15/2024 DD 04/04/14 200,000 199,882 200,316
DUKE ENERGY PROGRESS LLC 3.250% 08/15/2025 DD 08/13/15 265,000 264,192 257,869
ENERGY TRANSFER OPERATING LP 4.200% 09/15/2023 DD 06/08/18 80,000 79,941 78,843
ENTERPRISE FLEET FIN 1 A3 144A 3.100% 10/20/2023 DD 03/21/18 245,000 243,335 245,657
ENTERPRISE PRODUCTS OPERATING 4.150% 10/16/2028 DD 10/11/18 305,000 301,279 303,463
EVERGREEN CREDIT CARD 2 A 144A VAR RT 07/15/2022 DD 07/31/18 415,000 415,000 414,801
EXELON CORP 2.450% 04/15/2021 DD 04/07/16 30,000 29,993 29,341
FHLMC POOL #A4-1215 5.000% 11/01/2035 DD 12/01/05 79,213 76,075 84,091
FHLMC POOL #A4-1297 5.000% 12/01/2035 DD 12/01/05 32,425 31,141 34,226
FHLMC POOL #A4-1833 5.000% 01/01/2036 DD 01/01/06 14,779 14,194 15,660
FHLMC POOL #A4-7715 5.000% 11/01/2035 DD 11/01/05 365 351 383
FHLMC POOL #A7-0631 5.000% 12/01/2037 DD 12/01/07 72,067 69,116 75,994
FHLMC POOL #A7-7292 5.000% 04/01/2038 DD 05/01/08 120,224 118,721 127,225
FHLMC POOL #A9-6129 4.000% 01/01/2041 DD 12/01/10 1,983,975 2,049,229 2,041,351
FHLMC POOL #B1-1979 5.500% 01/01/2019 DD 01/01/04 180 180 180
FHLMC POOL #B1-5992 5.500% 08/01/2019 DD 08/01/04 1,735 1,797 1,738
FHLMC POOL #B1-6466 5.500% 09/01/2019 DD 09/01/04 6,207 6,214 6,223
FHLMC POOL #E0-1648 5.500% 05/01/2019 DD 05/01/04 137 142 137
FHLMC POOL #G0-1940 5.000% 10/01/2035 DD 10/01/05 30,194 28,361 32,067
FHLMC POOL #G0-4214 5.500% 05/01/2038 DD 04/01/08 101,921 102,622 108,958
FHLMC POOL #G0-8741 3.000% 01/01/2047 DD 12/01/16 7,290,308 7,490,791 7,107,685
FHLMC POOL #G0-8796 3.500% 12/01/2047 DD 12/01/17 617,366 611,361 617,249
FHLMC POOL #G0-8804 3.500% 02/01/2048 DD 02/01/18 2,062,630 2,042,567 2,062,197
FHLMC POOL #G0-8816 3.500% 05/01/2048 DD 05/01/18 988,141 976,754 987,904
FHLMC POOL #Q4-6279 3.500% 02/01/2047 DD 02/01/17 482,832 476,872 483,590
FHLMC POOL #Q5-3034 3.500% 12/01/2047 DD 12/01/17 321,912 318,203 321,851
FHLMC POOL #Q5-5617 3.500% 04/01/2048 DD 04/01/18 370,968 366,693 370,875
FHLMC POOL #Q5-6545 3.500% 06/01/2048 DD 06/01/18 545,345 540,041 545,203
FHLMC POOL #Q5-6606 3.500% 06/01/2048 DD 06/01/18 1,247,095 1,234,965 1,246,771
FHLMC MULTICLASS MTG 3883 PB 3.000% 05/15/2041 DD 06/01/11 100,517 100,117 100,576
FHLMC MULTICLASS MTG K003 A5 5.085% 03/25/2019 DD 06/01/09 145,745 147,202 145,627
FHLMC MULTICLASS MTG K068 A2 3.244% 08/25/2027 DD 10/01/17 382,000 393,447 380,373
FIDELITY NATIONAL INFORMATION 2.250% 08/15/2021 DD 08/16/16 175,000 174,976 168,994
FIFTH THIRD BANK/CINCINNATI OH 2.875% 10/01/2021 DD 09/05/14 300,000 298,455 296,457
FIRST NATIONAL MASTER NOTE 1 A VAR RT 10/15/2024 DD 10/17/18 270,000 270,000 270,014
FISERV INC 3.800% 10/01/2023 DD 09/25/18 340,000 339,844 342,118
FLUOR CORP 4.250% 09/15/2028 DD 08/29/18 140,000 139,702 136,384
FNMA POOL #0252441 6.000% 05/01/2019 DD 04/01/99 157 172 169
FNMA POOL #0256315 5.500% 07/01/2036 DD 06/01/06 42,372 41,543 45,082
FNMA POOL #0725206 5.500% 02/01/2034 DD 02/01/04 91,930 104,732 98,983
FNMA POOL #0725222 5.500% 02/01/2034 DD 02/01/04 150,256 171,115 161,806
FNMA POOL #0725314 5.000% 04/01/2034 DD 03/01/04 39,938 37,936 42,404

40

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — FNMA POOL #0727187 5.500% 08/01/2033 DD 08/01/03 14,645 14,741 15,576
FNMA POOL #0733655 5.500% 09/01/2033 DD 08/01/03 22,768 22,917 24,505
FNMA POOL #0734847 5.500% 08/01/2033 DD 08/01/03 43,690 43,976 46,757
FNMA POOL #0735383 5.000% 04/01/2035 DD 03/01/05 370,603 414,996 393,484
FNMA POOL #0820263 5.000% 07/01/2035 DD 07/01/05 12,182 11,983 12,929
FNMA POOL #0825951 5.000% 07/01/2035 DD 06/01/05 16,025 15,762 16,821
FNMA POOL #0826955 5.000% 06/01/2035 DD 06/01/05 2,189 2,153 2,323
FNMA POOL #0828523 5.000% 07/01/2035 DD 07/01/05 23,897 23,505 25,360
FNMA POOL #0828547 5.000% 08/01/2035 DD 08/01/05 2,785 2,643 2,955
FNMA POOL #0828678 5.000% 07/01/2035 DD 07/01/05 15,896 15,635 16,820
FNMA POOL #0828712 5.000% 07/01/2035 DD 07/01/05 29,234 28,754 31,017
FNMA POOL #0830996 5.000% 08/01/2035 DD 07/01/05 23,561 23,174 24,775
FNMA POOL #0832013 5.000% 09/01/2035 DD 08/01/05 42,760 42,058 45,400
FNMA POOL #0832878 5.000% 09/01/2035 DD 08/01/05 43,119 41,697 45,769
FNMA POOL #0838778 5.000% 10/01/2035 DD 10/01/05 15,140 14,382 16,065
FNMA POOL #0840377 5.000% 11/01/2035 DD 11/01/05 12,710 12,073 13,368
FNMA POOL #0843360 5.000% 11/01/2035 DD 11/01/05 7,082 6,729 7,419
FNMA POOL #0844018 5.000% 11/01/2035 DD 10/01/05 44,193 41,978 46,911
FNMA POOL #0867065 5.000% 02/01/2036 DD 02/01/06 12,280 11,656 13,017
FNMA POOL #0882022 5.500% 05/01/2036 DD 05/01/06 2,125 2,083 2,287
FNMA POOL #0888023 5.500% 06/01/2036 DD 11/01/06 301,953 301,246 324,322
FNMA POOL #0888120 5.000% 10/01/2035 DD 12/01/06 99,699 96,405 105,885
FNMA POOL #0888635 5.500% 09/01/2036 DD 08/01/07 78,314 89,197 84,338
FNMA POOL #0893289 5.500% 08/01/2036 DD 08/01/06 18,994 18,641 20,250
FNMA POOL #0893363 5.000% 06/01/2036 DD 08/01/06 4,352 4,134 4,618
FNMA POOL #0900979 5.500% 09/01/2036 DD 09/01/06 8,062 7,912 8,568
FNMA POOL #0961876 5.000% 03/01/2038 DD 02/01/08 81,920 79,994 85,814
FNMA POOL #0AL5249 4.500% 01/01/2043 DD 04/01/14 720,946 779,860 754,902
FNMA POOL #0AN6110 3.000% 07/01/2027 DD 07/01/17 515,000 526,064 502,187
FNMA POOL #0AN6257 3.160% 08/01/2027 DD 08/01/17 690,000 709,838 679,712
FNMA POOL #0AN7376 2.880% 11/01/2027 DD 11/01/17 730,112 733,078 704,653
FNMA POOL #0AN8322 3.190% 02/01/2028 DD 02/01/18 590,000 586,635 583,557
FNMA POOL #0AN8695 3.550% 03/01/2028 DD 03/01/18 710,000 726,391 720,409
FNMA POOL #0AT2016 3.000% 04/01/2043 DD 04/01/13 892,853 901,223 877,496
FNMA POOL #0BJ8622 3.500% 05/01/2048 DD 04/01/18 178,043 176,485 178,059
FNMA POOL #0BK5010 3.500% 06/01/2048 DD 06/01/18 799,309 792,315 799,373
FNMA POOL #0CA1191 3.500% 11/01/2047 DD 01/01/18 192,627 191,001 192,640
FNMA POOL #0MA3120 3.500% 09/01/2047 DD 08/01/17 1,735,534 1,796,745 1,736,714
FNMA POOL #0MA3305 3.500% 02/01/2048 DD 02/01/18 1,082,473 1,069,745 1,082,549
FNMA GTD REMIC P/T 12-18 GA 2.000% 12/25/2041 DD 02/01/12 171,710 162,293 165,520
FNMA GTD REMIC P/T 12-21 PQ 2.000% 09/25/2041 DD 02/01/12 88,925 84,187 85,241
FNMA GTD REMIC P/T 12-52 PA 3.500% 05/25/2042 DD 04/01/12 102,794 104,123 104,987

41

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — FNMA GTD REMIC P/T 12-75 KC 2.500% 12/25/2041 DD 06/01/12 182,596 177,147 178,649
FNMA GTD REMIC P/T 15-48 QB 3.000% 02/25/2043 DD 06/01/15 240,699 242,739 238,850
FNMA GTD REMIC P/T 16-11 GA 2.500% 03/25/2046 DD 02/01/16 156,608 151,811 153,262
FNMA GTD REMIC P/T 17-34 JK 3.000% 05/25/2047 DD 04/01/17 146,460 141,838 145,182
FNMA GTD REMIC P/T 17-72 B 3.000% 09/25/2047 DD 08/01/17 215,555 214,991 214,764
FNMA GTD REMIC P/T 17-72 CD 3.000% 09/25/2047 DD 08/01/17 220,063 218,915 219,599
FNMA GTD REMIC P/T 18-23 LA 3.500% 04/25/2048 DD 03/01/18 205,494 207,501 212,355
FNMA GTD REMIC P/T 18-38 PC 3.500% 03/25/2045 DD 05/01/18 253,413 253,967 256,943
FNMA GTD REMIC P/T 18-77 PA 3.500% 02/25/2048 DD 09/01/18 119,950 119,425 121,365
FNMA GTD REMIC P/T 18-80 GD 3.500% 12/25/2047 DD 09/01/18 461,691 457,020 467,000
FORD MOTOR CREDIT CO LLC 3.815% 11/02/2027 DD 11/02/17 200,000 183,512 168,742
FORTIS INC/CANADA 2.100% 10/04/2021 DD 04/04/17 75,000 74,809 72,103
FORTIS INC/CANADA 3.055% 10/04/2026 DD 04/04/17 200,000 198,266 182,578
FORTIVE CORP 2.350% 06/15/2021 DD 06/15/17 360,000 362,588 351,025
GENERAL DYNAMICS CORP 2.875% 05/11/2020 DD 05/11/18 760,000 757,310 760,524
GENERAL MOTORS CO 5.000% 10/01/2028 DD 09/10/18 255,000 254,911 241,620
GENERAL MOTORS FINANCIAL CO IN 4.300% 07/13/2025 DD 07/13/15 330,000 323,872 312,715
GENERAL MOTORS FINANCIAL CO IN 5.250% 03/01/2026 DD 03/01/16 175,000 182,266 171,238
GEORGIA POWER CO 3.250% 03/30/2027 DD 03/03/17 75,000 74,915 70,165
GEORGIA POWER CO 2.000% 09/08/2020 DD 08/08/17 251,000 245,436 245,300
GLAXOSMITHKLINE CAPITAL INC 3.375% 05/15/2023 DD 05/15/18 270,000 268,734 271,029
GLAXOSMITHKLINE CAPITAL PLC 3.125% 05/14/2021 DD 05/15/18 270,000 269,274 270,340
GLP CAPITAL LP / GLP FINANCING 5.300% 01/15/2029 DD 09/26/18 145,000 145,061 141,814
GNMA POOL #0345910 6.000% 12/15/2023 DD 12/01/93 2,398 2,499 2,572
GNMA POOL #0427239 6.000% 01/15/2028 DD 01/01/98 618 644 663
GNMA POOL #0465541 6.000% 07/15/2028 DD 07/01/98 1,164 1,213 1,249
GNMA POOL #0486703 6.000% 11/15/2028 DD 11/01/98 813 847 888
GNMA POOL #0491289 6.000% 11/15/2028 DD 11/01/98 9,563 9,996 10,260
GNMA POOL #0596613 6.000% 10/15/2032 DD 10/01/02 608 627 656
GNMA POOL #0601319 6.000% 02/15/2033 DD 02/01/03 10,343 10,811 11,096
GNMA POOL #0739896 4.000% 01/15/2041 DD 01/01/11 136,420 147,328 140,657
GNMA POOL #0767263 4.000% 08/15/2041 DD 08/01/11 642,299 693,658 662,095
GNMA POOL #0770410 4.000% 06/15/2041 DD 06/01/11 46,950 50,750 48,395
GNMA POOL #0778693 4.000% 12/15/2041 DD 12/01/11 125,180 135,312 129,058
GNMA POOL #0781856 6.000% 08/15/2034 DD 01/01/05 138,310 143,097 150,536
GNMA POOL #0782071 7.000% 05/15/2033 DD 03/01/06 40,116 41,858 45,513
GNMA GTD REMIC P/T 13-37 LG 2.000% 01/20/2042 DD 03/01/13 273,824 255,512 261,411
GNMA II POOL #0MA4652 3.500% 08/20/2047 DD 08/01/17 2,512,621 2,616,659 2,529,305
GNMA II POOL #0MA4961 3.000% 01/20/2048 DD 01/01/18 384,872 371,657 379,099
GNMA II POOL #0MA5018 3.000% 02/20/2048 DD 02/01/18 3,867,437 3,734,645 3,809,387
GOLDMAN SACHS GROUP INC/THE VAR RT 11/29/2023 DD 11/29/13 300,000 304,878 297,303
GOLDMAN SACHS GROUP INC/THE 5.750% 01/24/2022 DD 01/24/12 285,000 303,235 298,404

42

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — GOLDMAN SACHS GROUP INC/THE 4.000% 03/03/2024 DD 03/03/14 80,000 79,758 78,942
GOLDMAN SACHS GROUP INC/THE VAR RT 06/05/2028 DD 06/05/17 210,000 210,000 195,168
GOLDMAN SACHS GROUP INC/THE VAR RT 07/24/2023 DD 07/24/17 295,000 293,151 281,011
GOLDMAN SACHS GROUP INC/THE VAR RT 05/01/2029 DD 04/23/18 320,000 315,024 307,965
GOLDMAN SACHS GROUP INC/THE 3.750% 02/25/2026 DD 02/25/16 305,000 318,554 288,423
GOLDMAN SACHS GROUP INC/THE 2.350% 11/15/2021 DD 09/27/16 115,000 114,882 110,884
GOLDMAN SACHS GROUP INC/THE 3.500% 11/16/2026 DD 11/16/16 230,000 212,920 212,440
GOLDMAN SACHS GROUP INC/THE 3.750% 05/22/2025 DD 05/22/15 25,000 24,920 23,919
GOLDMAN SACHS GROUP INC/THE VAR RT 10/31/2022 DD 10/31/17 180,000 180,000 174,818
GS MORTGAGE SECURITIES GS5 A4 3.674% 03/10/2050 DD 03/01/17 445,000 467,226 444,439
HESS CORP 4.300% 04/01/2027 DD 09/28/16 280,000 279,288 256,572
HOME DEPOT INC/THE 2.125% 09/15/2026 DD 09/15/16 120,000 118,685 108,019
HOME DEPOT INC/THE 3.250% 03/01/2022 DD 12/06/18 115,000 114,685 116,194
HSBC HOLDINGS PLC 3.400% 03/08/2021 DD 03/08/16 240,000 239,453 239,378
HSBC HOLDINGS PLC 2.950% 05/25/2021 DD 05/25/16 400,000 403,752 394,844
HUMANA INC 2.500% 12/15/2020 DD 12/21/17 125,000 124,933 123,115
INTEL CORP 3.100% 07/29/2022 DD 07/29/15 55,000 58,720 55,058
INTESA SANPAOLO SPA 144A 3.375% 01/12/2023 DD 01/12/18 200,000 199,480 185,270
INTESA SANPAOLO SPA 144A 3.875% 01/12/2028 DD 01/12/18 200,000 198,428 170,808
JOHN DEERE CAPITAL CORP 2.650% 01/06/2022 DD 01/06/17 105,000 104,971 102,992
JOHN DEERE CAPITAL CORP 2.350% 01/08/2021 DD 01/08/18 225,000 224,883 221,915
JOHN DEERE CAPITAL CORP 3.450% 06/07/2023 DD 06/07/18 85,000 84,953 85,321
JOHNSON & JOHNSON 2.950% 03/03/2027 DD 03/03/17 5,000 4,995 4,808
JP MORGAN CHASE COMMERC JP3 A5 2.870% 08/15/2049 DD 09/01/16 270,000 264,727 257,000
JPMBB COMMERCIAL MORTGA C32 A5 3.598% 11/15/2048 DD 10/01/15 322,000 351,219 323,607
JPMORGAN CHASE & CO 2.295% 08/15/2021 DD 08/08/16 465,000 466,588 453,673
JPMORGAN CHASE & CO 4.350% 08/15/2021 DD 08/10/11 250,000 248,800 255,833
JPMORGAN CHASE & CO 4.500% 01/24/2022 DD 01/23/12 105,000 112,184 108,191
JPMORGAN CHASE & CO 2.550% 03/01/2021 DD 03/01/16 80,000 79,940 78,872
JPMORGAN CHASE & CO 3.300% 04/01/2026 DD 03/23/16 100,000 99,881 95,233
JPMORGAN CHASE & CO VAR RT 01/23/2029 DD 01/23/18 320,000 320,000 303,008
JPMORGAN CHASE & CO VAR RT 04/23/2029 DD 04/23/18 95,000 94,389 93,134
JPMORGAN CHASE & CO VAR RT 07/23/2024 DD 07/23/18 345,000 345,000 345,624
KRAFT HEINZ FOODS CO 3.000% 06/01/2026 DD 05/24/16 320,000 318,598 285,466
KRAFT HEINZ FOODS CO 4.625% 01/30/2029 DD 06/15/18 140,000 136,685 138,421
MARATHON OIL CORP 2.800% 11/01/2022 DD 10/29/12 130,000 119,753 122,100
MARSH & MCLENNAN COS INC 4.050% 10/15/2023 DD 09/27/13 375,000 373,523 380,483
MARSH & MCLENNAN COS INC 3.500% 03/10/2025 DD 09/10/14 65,000 64,796 63,853
MASTER CREDIT CARD T 3A A 144A VAR RT 01/21/2022 DD 08/14/18 455,000 455,000 455,541
MCDONALD'S CORP 3.350% 04/01/2023 DD 03/16/18 195,000 194,926 194,013
MCKESSON CORP 3.650% 11/30/2020 DD 11/30/18 470,000 469,784 472,247
MERCEDES-BENZ AUTO LEASE B A3 3.210% 09/15/2021 DD 11/20/18 450,000 449,990 451,850

43

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — METHANEX CORP 3.250% 12/15/2019 DD 12/17/12 345,000 348,129 342,409
METROPOLITAN LIFE GLOBAL 144A 2.400% 01/08/2021 DD 01/10/18 380,000 379,586 374,213
MICROCHIP TECHNOLOGY INC 144A 3.922% 06/01/2021 DD 05/29/18 210,000 210,000 208,318
MICROSOFT CORP 2.000% 08/08/2023 DD 08/08/16 85,000 84,746 81,724
MICROSOFT CORP 2.400% 08/08/2026 DD 08/08/16 195,000 191,669 181,808
MICROSOFT CORP 2.875% 02/06/2024 DD 02/06/17 10,000 9,927 9,906
MOODY'S CORP 2.625% 01/15/2023 DD 01/15/18 50,000 49,883 47,732
MORGAN STANLEY 4.350% 09/08/2026 DD 09/08/14 175,000 174,692 170,065
MORGAN STANLEY 2.750% 05/19/2022 DD 05/19/17 200,000 199,582 194,576
MORGAN STANLEY VAR RT 04/24/2024 DD 04/24/18 310,000 310,000 307,359
MORGAN STANLEY 2.500% 01/24/2019 DD 01/24/14 100,000 99,632 99,959
MORGAN STANLEY 2.450% 02/01/2019 DD 01/27/16 125,000 127,498 124,939
MORGAN STANLEY 2.500% 04/21/2021 DD 04/21/16 245,000 244,177 239,806
MORGAN STANLEY 4.875% 11/01/2022 DD 10/23/12 20,000 20,161 20,610
MORGAN STANLEY 3.125% 07/27/2026 DD 07/25/16 620,000 616,558 573,271
MORGAN STANLEY 3.950% 04/23/2027 DD 04/23/15 90,000 89,676 84,851
MORGAN STANLEY BANK OF C14 A5 4.064% 02/15/2047 DD 02/01/14 25,000 26,743 25,758
MORGAN STANLEY BANK OF C22 A4 3.306% 04/15/2048 DD 04/01/15 569,000 577,002 562,166
MORGAN STANLEY BANK OF C26 A5 3.531% 10/15/2048 DD 11/01/15 441,000 479,019 440,413
MORGAN STANLEY BANK OF C28 A4 3.544% 01/15/2049 DD 02/01/16 563,000 576,349 562,088
MORGAN STANLEY BANK OF C30 A5 2.860% 09/15/2049 DD 09/01/16 590,000 580,962 560,004
MPLX LP 4.125% 03/01/2027 DD 02/10/17 100,000 99,834 95,211
MYLAN INC 144A 4.550% 04/15/2028 DD 04/09/18 95,000 94,764 88,543
MYLAN NV 3.750% 12/15/2020 DD 12/15/16 95,000 94,970 94,956
MYLAN NV 3.150% 06/15/2021 DD 12/15/16 235,000 234,727 229,821
MYLAN NV 3.950% 06/15/2026 DD 12/15/16 45,000 42,359 41,013
NATIONAL RURAL UTILITIES COOPE 2.300% 11/01/2020 DD 10/27/15 170,000 169,657 167,544
NATIONAL RURAL UTILITIES COOPE 2.400% 04/25/2022 DD 04/25/17 75,000 74,979 72,983
NESTLE HOLDINGS INC 144A 3.350% 09/24/2023 DD 09/24/18 325,000 324,942 328,218
NEW YORK LIFE GLOBAL FUND 144A 2.000% 04/13/2021 DD 04/13/16 340,000 340,853 331,296
NXP BV / NXP FUNDING LLC 144A 4.875% 03/01/2024 DD 12/06/18 370,000 370,204 371,624
OBP DEPOSITOR LLC T OBP A 144A 4.646% 07/15/2045 DD 07/01/10 150,000 157,838 152,517
PACIFIC GAS & ELECTRIC CO 3.400% 08/15/2024 DD 08/18/14 30,000 28,322 26,017
PACIFIC GAS & ELECTRIC CO 2.950% 03/01/2026 DD 03/01/16 375,000 349,642 308,321
PACIFIC GAS & ELECTRIC CO 3.300% 12/01/2027 DD 11/29/17 100,000 88,906 81,605
PENSKE TRUCK LEASING CO L 144A 4.875% 07/11/2022 DD 07/13/12 155,000 159,446 160,481
PENSKE TRUCK LEASING CO L 144A 3.375% 02/01/2022 DD 02/02/15 120,000 125,686 118,661
PENSKE TRUCK LEASING CO L 144A 3.900% 02/01/2024 DD 05/10/18 35,000 34,929 34,738
PETROLEOS MEXICANOS 6.500% 01/23/2029 DD 10/23/18 15,000 14,993 13,988
PETROLEOS MEXICANOS 4.875% 01/24/2022 40,000 40,890 38,940
PETROLEOS MEXICANOS 4.625% 09/21/2023 99,000 99,575 92,912
PETROLEOS MEXICANOS 5.350% 02/12/2028 125,000 125,000 109,063

44

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — PFIZER INC 3.200% 09/15/2023 DD 09/07/18 65,000 64,868 65,257
PFIZER INC 3.600% 09/15/2028 DD 09/07/18 65,000 64,897 65,246
PHILIP MORRIS INTERNATIONAL IN 3.250% 11/10/2024 DD 11/10/14 290,000 285,711 283,020
PHILIP MORRIS INTERNATIONAL IN 2.375% 08/17/2022 DD 08/17/17 190,000 189,120 182,598
PIONEER NATURAL RESOURCES CO 4.450% 01/15/2026 DD 12/07/15 115,000 122,749 116,110
REYNOLDS AMERICAN INC 4.000% 06/12/2022 DD 06/12/15 240,000 247,779 237,413
REYNOLDS AMERICAN INC 4.450% 06/12/2025 DD 06/12/15 30,000 30,518 28,927
ROYAL BANK OF CANADA 2.150% 10/26/2020 DD 10/26/17 360,000 359,791 354,470
SABINE PASS LIQUEFACTION LLC 5.750% 05/15/2024 DD 11/15/14 170,000 188,753 177,371
SABINE PASS LIQUEFACTION LLC 4.200% 03/15/2028 DD 03/06/17 5,000 4,995 4,783
SALESFORCE.COM INC 3.250% 04/11/2023 DD 04/11/18 140,000 139,916 140,720
SALESFORCE.COM INC 3.700% 04/11/2028 DD 04/11/18 95,000 94,976 95,503
SANTANDER DRIVE AUTO RECE 5 A3 3.190% 03/15/2022 DD 10/24/18 200,000 199,974 199,384
SANTANDER HOLDINGS USA INC 3.700% 03/28/2022 DD 09/28/17 265,000 268,747 260,257
SEMPRA ENERGY 2.400% 02/01/2020 DD 01/12/18 210,000 209,714 207,176
SHERWIN-WILLIAMS CO/THE 2.750% 06/01/2022 DD 05/16/17 105,000 104,935 101,641
SHERWIN-WILLIAMS CO/THE 3.450% 06/01/2027 DD 05/16/17 190,000 182,270 177,112
SOUTH CAROLINA ELECTRIC & GAS 3.500% 08/15/2021 DD 08/17/18 220,000 219,993 220,618
SOUTHERN CALIFORNIA EDISON CO 2.900% 03/01/2021 DD 03/05/18 425,000 424,822 419,747
SOUTHERN CALIFORNIA EDISON CO 3.400% 06/01/2023 DD 06/04/18 210,000 209,782 208,795
SOUTHERN CALIFORNIA GAS CO 2.600% 06/15/2026 DD 06/03/16 130,000 129,748 121,958
SOUTHERN CO/THE 2.950% 07/01/2023 DD 05/24/16 15,000 14,987 14,486
SOUTHERN CO/THE 3.250% 07/01/2026 DD 05/24/16 175,000 164,176 163,931
STARBUCKS CORP 3.800% 08/15/2025 DD 08/10/18 355,000 351,578 351,067
STARBUCKS CORP 4.000% 11/15/2028 DD 08/10/18 85,000 84,905 84,312
STATE STREET CORP VAR RT 12/03/2024 DD 12/03/18 110,000 110,000 110,262
SUNCOR ENERGY INC 3.600% 12/01/2024 DD 11/25/14 165,000 163,938 161,387
SYNCHRONY FINANCIAL 3.700% 08/04/2026 DD 08/04/16 100,000 92,965 84,824
SYNGENTA FINANCE NV 144A 5.182% 04/24/2028 DD 04/24/18 440,000 423,974 408,034
SYNGENTA FINANCE NV 144A 4.892% 04/24/2025 DD 04/24/18 200,000 200,000 189,110
TELEFONICA EMISIONES SA 4.103% 03/08/2027 DD 03/08/17 395,000 375,866 379,437
TEXAS EASTERN TRANSMISSIO 144A 3.500% 01/15/2028 DD 01/09/18 60,000 59,689 56,648
THERMO FISHER SCIENTIFIC INC 3.000% 04/15/2023 DD 04/13/16 150,000 149,268 145,934
THERMO FISHER SCIENTIFIC INC 2.950% 09/19/2026 DD 09/19/16 65,000 64,212 59,985
TOYOTA AUTO RECEIVABLES 2 D A4 3.300% 02/15/2024 DD 11/07/18 175,000 174,964 177,154
TRANSCANADA PIPELINES LTD 4.250% 05/15/2028 DD 05/07/18 270,000 267,894 267,392
TRANSCONTINENTAL GAS PIPE LINE 4.000% 03/15/2028 DD 09/15/18 35,000 34,388 34,224
TRILLIUM CREDIT CARD 2A A 144A VAR RT 09/26/2023 DD 10/12/18 455,000 455,000 454,600
U S TREASURY NOTE 1.375% 02/29/2020 DD 02/28/15 7,125,000 7,128,896 7,025,393
U S TREASURY NOTE 3.125% 05/15/2021 DD 05/15/11 5,347,000 5,421,774 5,426,349
U S TREASURY NOTE 0.750% 07/15/2019 DD 07/15/16 2,460,000 2,449,397 2,436,458
U S TREASURY NOTE 1.375% 02/15/2020 DD 02/15/17 2,958,000 2,945,154 2,917,209

45

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — UBS AG/LONDON 144A 2.450% 12/01/2020 DD 11/30/17 215,000 214,802 210,982
UBS GROUP FUNDING SWITZER 144A 2.950% 09/24/2020 DD 09/24/15 205,000 204,649 202,833
UNION PACIFIC CORP 3.750% 07/15/2025 DD 06/08/18 340,000 339,986 343,227
UNITED TECHNOLOGIES CORP 2.800% 05/04/2024 DD 05/04/17 350,000 349,272 329,910
UNITED TECHNOLOGIES CORP 3.125% 05/04/2027 DD 05/04/17 125,000 118,554 115,455
UNITED TECHNOLOGIES CORP 3.650% 08/16/2023 DD 08/16/18 420,000 419,962 418,354
UNITED TECHNOLOGIES CORP 3.950% 08/16/2025 DD 08/16/18 40,000 39,932 39,690
UNITEDHEALTH GROUP INC 2.300% 12/15/2019 DD 12/08/14 245,000 250,635 243,388
UNITEDHEALTH GROUP INC 1.700% 02/15/2019 DD 02/25/16 130,000 129,952 129,791
UNITEDHEALTH GROUP INC 2.125% 03/15/2021 DD 02/25/16 260,000 259,207 254,569
UNITEDHEALTH GROUP INC 3.150% 06/15/2021 DD 06/19/18 60,000 59,968 60,080
UNITEDHEALTH GROUP INC 3.700% 12/15/2025 DD 12/17/18 55,000 54,889 55,549
US TREAS-CPI INFLAT 0.625% 01/15/2026 DD 01/15/16 4,416,513 4,382,575 4,298,901
US TREAS-CPI INFLAT 0.625% 07/15/2021 DD 07/15/11 1,240,888 1,288,151 1,227,337
VALE OVERSEAS LTD 6.250% 08/10/2026 255,000 280,378 275,400
VALERO ENERGY CORP 3.400% 09/15/2026 DD 09/12/16 155,000 153,934 142,188
VALERO ENERGY PARTNERS LP 4.500% 03/15/2028 DD 03/29/18 260,000 259,116 254,582
VERIZON COMMUNICATIONS INC 3.500% 11/01/2024 DD 10/29/14 110,000 111,697 108,491
VERIZON COMMUNICATIONS INC 4.125% 03/16/2027 DD 03/16/17 440,000 443,568 440,339
VERIZON COMMUNICATIONS INC 4.329% 09/21/2028 DD 06/21/18 85,000 84,425 85,349
VIACOM INC 4.250% 09/01/2023 DD 08/19/13 395,000 406,402 393,460
VODAFONE GROUP PLC 3.750% 01/16/2024 DD 05/30/18 265,000 262,755 261,192
VOLKSWAGEN AUTO LOAN ENHA 2 A3 3.250% 04/20/2023 DD 11/21/18 355,000 354,985 357,939
VOLKSWAGEN GROUP OF AMERI 144A 3.875% 11/13/2020 DD 11/13/18 220,000 219,833 221,074
WALMART INC 3.400% 06/26/2023 DD 06/27/18 365,000 364,901 368,763
WARNER MEDIA LLC 3.600% 07/15/2025 DD 06/04/15 255,000 258,405 241,516
WARNER MEDIA LLC 3.875% 01/15/2026 DD 11/20/15 120,000 122,145 114,612
WELLS FARGO & CO 2.500% 03/04/2021 DD 03/04/16 75,000 74,983 73,768
WELLS FARGO & CO 3.000% 04/22/2026 DD 04/22/16 240,000 238,923 223,642
WELLS FARGO & CO VAR RT 10/31/2023 DD 10/31/16 120,000 120,000 119,629
WELLS FARGO & CO 4.125% 08/15/2023 DD 08/15/13 310,000 308,224 311,832
WELLS FARGO & CO VAR RT 05/22/2028 DD 05/22/17 300,000 300,000 288,024
WELLS FARGO & CO 2.625% 07/22/2022 DD 07/24/17 475,000 474,582 458,024
WELLS FARGO BANK NA 2.600% 01/15/2021 DD 01/23/18 250,000 249,865 246,895
WELLS FARGO BANK NA 3.625% 10/22/2021 DD 10/23/18 345,000 344,962 347,042
WESTERN MIDSTREAM OPERATING LP 4.500% 03/01/2028 DD 03/02/18 195,000 189,813 182,270
WESTERN MIDSTREAM OPERATING LP 4.750% 08/15/2028 DD 08/09/18 190,000 184,481 180,865
WFRBS COMMERCIAL MORTG LC14 A5 4.045% 03/15/2047 DD 02/01/14 85,000 90,814 87,677
WILLIAMS COS INC/THE 4.300% 03/04/2024 DD 03/04/14 30,000 29,937 29,895
WILLIAMS COS INC/THE 3.900% 01/15/2025 DD 06/27/14 75,000 74,768 72,867
WILLIS NORTH AMERICA INC 3.600% 05/15/2024 DD 05/16/17 110,000 110,160 107,400

46

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY, INC. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR MET TOWER LIFE 38025 AND RGA RGA00036 December 31, 2018 — WRKCO INC 144A 4.650% 03/15/2026 DD 12/03/18 225,000 224,672 228,438
COMMIT TO PUR FHLMC GOLD SFM 3.000% 01/01/2034 DD 01/01/19 900,000 (889,453 ) (889,453 )
COMMIT TO PUR FHLMC GOLD SFM 4.000% 01/01/2049 DD 01/01/19 3,300,000 (3,336,609 ) (3,336,609 )
COMMIT TO PUR FHLMC GOLD SFM 4.500% 01/01/2049 DD 01/01/19 1,000,000 (1,031,563 ) (1,031,563 )
COMMIT TO PUR FHLMC GOLD SFM 4.500% 01/01/2049 DD 01/01/19 1,000,000 (1,031,563 ) (1,031,563 )
COMMIT TO PUR FHLMC GOLD SFM 4.500% 01/01/2049 DD 01/01/19 (1,000,000 ) 1,031,641 1,031,641
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2049 DD 01/01/19 400,000 (390,203 ) (390,203 )
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2049 DD 01/01/19 400,000 (390,219 ) (390,219 )
COMMIT TO PUR FNMA SF MTG 3.500% 01/01/2049 DD 01/01/19 900,000 (890,684 ) (890,684 )
COMMIT TO PUR FNMA SF MTG 4.000% 01/01/2049 DD 01/01/19 1,500,000 (1,509,609 ) (1,509,609 )
COMMIT TO PUR FNMA SF MTG 4.000% 01/01/2049 DD 01/01/19 1,600,000 (1,618,000 ) (1,618,000 )
COMMIT TO PUR GNMA II JUMBOS 3.500% 11/01/2048 DD 11/01/18 4,105,000 (4,094,738 ) (4,094,738 )
COMMIT TO PUR GNMA II JUMBOS 3.500% 11/01/2048 DD 11/01/18 4,000,000 (3,983,750 ) (3,983,750 )
COMMIT TO PUR GNMA II JUMBOS 4.000% 01/20/2049 DD 01/01/19 2,200,000 (2,236,781 ) (2,236,781 )
COMMIT TO PUR GNMA II JUMBOS 4.500% 01/20/2048 DD 01/01/19 700,000 (722,313 ) (722,313 )
COMMIT TO PUR GNMA II JUMBOS 4.500% 01/20/2048 DD 01/01/19 600,000 (619,406 ) (619,406 )
INTEREST BEARING CASH TEMPORARY INVESTMENTS 46,762,292 46,762,292
TOTAL UNDERLYING ASSETS $ 282,357,509 $ 278,931,006
MET TOWER LIFE 38025 - 68.1% of MARKET VALUE $ 189,839,503
IGT INVESCO SHORT-TERM BOND FUND 129,109,959
FAIR VALUE BANK OF MET LIFE TOWER 38025 318,949,462
MET TOWER LIFE 38025 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE 4,122,426
MET TOWER LIFE 38025 - CONTRACT VALUE $ 323,071,888
RGA RGA00036 - 31.9% of MARKET VALUE $ 89,091,503
IGT INVESCO SHORT-TERM BOND FUND 130,011,740
FAIR VALUE RGA RGA00036 219,103,243
RGA RGA00036 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE 2,867,301
RGA RGA00036 - CONTRACT VALUE $ 221,970,544

47

EXHIBIT INDEX

EXHIBIT NO. DESCRIPTION
23.1 * Consent of BDO USA, LLP
23.2 * Consent of Plante & Moran, PLLC
  • Filed herewith

48

SIGNATURES

The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.

THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN

DATE: June 28, 2019
Bryan Jendretzke
Global Benefits Director and Plan Administrator

49