|
Total Cash Contributions |
$43,970,420 |
| Cash from Employers |
$13,698,688 |
| Cash from Participants |
$26,967,739 |
| Others (including rollovers) |
$3,303,993 |
|
| Noncash Contributions |
$0 |
|
|
Total Interest |
$438,742 |
| Interest-Bearing Cash |
$3,978 |
| U.S. Government Securities |
$0 |
| Corporate Debt Instruments |
$0 |
| Loans (other than to participants) |
$0 |
| Participant Loans |
$434,764 |
| Interest from Other Investments |
$0 |
|
|
Total Dividends |
$4,713,099 |
| Preferred Stock |
$0 |
| Common Stock |
$0 |
|
| Rents |
$0 |
|
Net gain (loss) on sale of assets |
$0 |
| Aggregate Proceeds |
$0 |
| Aggregate Carrying Amount |
$0 |
|
|
Total Unrealized Appreciation (depreciation) of assets |
$0 |
|
|
| Net investment gain (loss) from common/collective trusts |
$0 |
| Net investment gain (loss) from pooled separate accounts |
$0 |
| Net investment gain (loss) from master trust investment accounts |
$0 |
| Net investment gain (loss) from 103-12 investment entities |
$0 |
| Net investment gain (loss) from registered investment companies |
$35,097,140 |
| Other Income |
$0 |
|
|