Faster, stronger, better. Annual report 2019 creating more smiles with every sip



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Bog'liq
2019 Annual Report

2019
2018
Total
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
U.S. plan assets 
(a)
Equity securities, including preferred stock 
(b)
$
6,605 $
6,605 $
— $
— $
5,605
Government securities 
(c)
2,154

2,154

1,674
Corporate bonds 
(c)
4,737

4,737

4,145
Mortgage-backed securities 
(c)
159

159

212
Contracts with insurance companies 
(d)
9


9
9
Cash and cash equivalents
275
275


215
Sub-total U.S. plan assets
13,939 $
6,880 $
7,050 $
9
11,860
Real estate commingled funds measured at 
net asset value 
(e)
605
618
Dividends and interest receivable, net of
payables
60
65
Total U.S. plan assets
$
14,604
$
12,543
International plan assets
Equity securities 
(b)
$
1,973 $
1,941 $
32 $
— $
1,651
Government securities 
(c)
524

524

433
Corporate bonds 
(c)
585

585

478
Fixed income commingled funds 
(f)
384
384


356
Contracts with insurance companies 
(d)
42


42
36
Cash and cash equivalents
24
24


27
Sub-total international plan assets
3,532 $
2,349 $
1,141 $
42
2,981
Real estate commingled funds measured at 
net asset value 
(e)
193
102
Dividends and interest receivable
7
7
Total international plan assets
$
3,732
$
3,090
(a) 2019 and 2018 amounts include $302 million and $285 million, respectively, of retiree medical plan assets that are restricted for purposes of 
providing health benefits for U.S. retirees and their beneficiaries.
(b) The equity securities portfolio was invested in U.S. and international common stock and commingled funds, and the preferred stock portfolio in 
the U.S. was invested in domestic and international corporate preferred stock investments. The common stock is based on quoted prices in active 
markets. The commingled funds are based on the published price of the fund and the U.S. commingled funds include one large-cap fund that 
represents 16% and 15% of total U.S. plan assets for 2019 and 2018, respectively. The preferred stock investments are based on quoted bid prices 
for comparable securities in the marketplace and broker/dealer quotes in active markets.
(c) These investments are based on quoted bid prices for comparable securities in the marketplace and broker/dealer quotes in active markets. Corporate 
bonds of U.S.-based companies represent 28% of total U.S. plan assets for both 2019 and 2018. 
(d) Based on the fair value of the contracts as determined by the insurance companies using inputs that are not observable. The changes in Level 3 
amounts were not significant in the years ended December 28, 2019 and December 29, 2018.
(e) The real estate commingled funds include investments in limited partnerships. These funds are based on the net asset value of the appraised value 
of investments owned by these funds as determined by independent third parties using inputs that are not observable. The majority of the funds are 
redeemable quarterly subject to availability of cash and have notice periods ranging from 45 to 90 days.
(f) Based on the published price of the fund.

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