SEC Form 11-K filed by Amgen Inc.
| ý | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |||||||
| ¨ | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |||||||
| One Amgen Center Drive, | 91320-1799 | |||||||
| Thousand Oaks, California | (Zip Code) | |||||||
| (Address of principal executive offices) | ||||||||
| Audited Financial Statements: | |||||
| Supplemental Schedule: | |||||
| December 31, | ||||||||||||||
| 2024 | 2023 | |||||||||||||
| Assets | ||||||||||||||
| Investments at fair value | $ | 7,032,543,261 | $ | 6,270,169,496 | ||||||||||
| Investments in fully benefit-responsive investment contracts at contract value | 688,059,315 | 638,250,657 | ||||||||||||
| Notes receivable from participants | 35,591,211 | 31,248,315 | ||||||||||||
| Other – principally due from broker | 3,433,090 | 4,776,528 | ||||||||||||
| Total assets | 7,759,626,877 | 6,944,444,996 | ||||||||||||
| Liabilities | ||||||||||||||
| Other – principally due to broker | 4,178,843 | 5,497,298 | ||||||||||||
| Total liabilities | 4,178,843 | 5,497,298 | ||||||||||||
| Net assets available for benefits | $ | 7,755,448,034 | $ | 6,938,947,698 | ||||||||||
| Year Ended December 31, | ||||||||
| 2024 | ||||||||
| Additions to (deductions from) net assets: | ||||||||
| Employer contributions | $ | 268,014,992 | ||||||
| Participant contributions | 237,183,261 | |||||||
| Rollover contributions | 116,347,764 | |||||||
| Interest and dividend income | 49,639,021 | |||||||
| Net realized/unrealized gains | 688,876,587 | |||||||
| Interest income on notes receivable from participants | 2,300,919 | |||||||
| Benefits paid | (536,100,983) | |||||||
| Investment and administrative fees | (9,761,225) | |||||||
| Net increase | 816,500,336 | |||||||
| Net assets available for benefits at beginning of year | 6,938,947,698 | |||||||
| Net assets available for benefits at end of year | $ | 7,755,448,034 | ||||||
| December 31, | |||||||||||
| 2024 | 2023 | ||||||||||
| Synthetic investment contracts | $ | 688,059,315 | $ | 638,250,657 | |||||||
| Total fully benefit-responsive investment contracts | $ | 688,059,315 | $ | 638,250,657 | |||||||
Fair value measurements at December 31, 2024, using | ||||||||||||||||||||||||||
| Quoted prices in active markets for identical assets (Level 1) | Significant other observable inputs (Level 2) | Significant unobservable inputs (Level 3) | Total | |||||||||||||||||||||||
| Amgen stock | $ | 344,055,715 | $ | — | $ | — | $ | 344,055,715 | ||||||||||||||||||
| Cash and cash equivalents | 3,466,558 | — | — | 3,466,558 | ||||||||||||||||||||||
| Collective trust funds | — | 5,003,198,779 | — | 5,003,198,779 | ||||||||||||||||||||||
| Common and preferred stocks | 533,256,711 | — | — | 533,256,711 | ||||||||||||||||||||||
| Debt securities | — | 2,979 | — | 2,979 | ||||||||||||||||||||||
| Mutual funds | 148,845,846 | — | — | 148,845,846 | ||||||||||||||||||||||
| Self-directed brokerage accounts | 996,397,298 | 3,319,375 | — | 999,716,673 | ||||||||||||||||||||||
| Total investments at fair value | $ | 2,026,022,128 | $ | 5,006,521,133 | $ | — | $ | 7,032,543,261 | ||||||||||||||||||
Fair value measurements at December 31, 2023, using | ||||||||||||||||||||||||||
| Quoted prices in active markets for identical assets (Level 1) | Significant other observable inputs (Level 2) | Significant unobservable inputs (Level 3) | Total | |||||||||||||||||||||||
| Amgen stock | $ | 397,307,694 | $ | — | $ | — | $ | 397,307,694 | ||||||||||||||||||
| Cash and cash equivalents | 5,271,619 | — | — | 5,271,619 | ||||||||||||||||||||||
| Collective trust funds | — | 4,193,149,196 | — | 4,193,149,196 | ||||||||||||||||||||||
| Common and preferred stocks | 763,525,683 | — | — | 763,525,683 | ||||||||||||||||||||||
| Debt securities | — | 3,008 | — | 3,008 | ||||||||||||||||||||||
| Mutual funds | 105,092,597 | — | — | 105,092,597 | ||||||||||||||||||||||
| Self-directed brokerage accounts | 801,100,962 | 4,718,737 | — | 805,819,699 | ||||||||||||||||||||||
| Total investments at fair value | $ | 2,072,298,555 | $ | 4,197,870,941 | $ | — | $ | 6,270,169,496 | ||||||||||||||||||
| December 31, | ||||||||||||||
| 2024 | 2023 | |||||||||||||
| Net assets available for benefits per the financial statements | $ | 7,755,448,034 | $ | 6,938,947,698 | ||||||||||
Adjustment to fair value for fully benefit-responsive investment contracts | (37,044,409) | (42,589,104) | ||||||||||||
| Amounts allocated to withdrawing participants | (2,576,951) | (2,426,100) | ||||||||||||
| Deemed loans | (405,772) | (433,392) | ||||||||||||
| Net assets per the Form 5500 | $ | 7,715,420,902 | $ | 6,893,499,102 | ||||||||||
| Year Ended December 31, 2024 | ||||||||
| Interest and dividend income | $ | 49,639,021 | ||||||
| Net realized/unrealized gains | 688,876,587 | |||||||
| Net investment gain per the financial statements | 738,515,608 | |||||||
| Adjustment from fair value to contract value for fully benefit-responsive investment contracts: | ||||||||
| Prior-year adjustment | 42,589,104 | |||||||
| Current-year adjustment | (37,044,409) | |||||||
| Total net investment gain per the Form 5500 | $ | 744,060,303 | ||||||
| Year Ended December 31, 2024 | ||||||||
| Benefits paid | $ | (536,100,983) | ||||||
| Investment and administrative fees | (9,761,225) | |||||||
| Total expenses per the financial statements | (545,862,208) | |||||||
Amounts allocated to withdrawing participants at December 31, 2023 | 2,426,100 | |||||||
Amounts allocated to withdrawing participants at December 31, 2024 | (2,576,951) | |||||||
Deemed loans at December 31, 2023 | 433,392 | |||||||
Deemed loans at December 31, 2024 | (405,772) | |||||||
| Total expenses per the Form 5500 | $ | (545,985,439) | ||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| Amgen stock* | Employer Securities 1,320,042 shares | $ | 344,055,715 | |||||||||||||||||
| $ | 344,055,715 | |||||||||||||||||||
| Capital Preservation Asset Class: | ||||||||||||||||||||
| Galliard Intermediate Core Fund L* | Collective Trust Fund 26,889,543 units | 388,268,871 | ||||||||||||||||||
| Galliard Short Core Fund F* | Collective Trust Fund 15,803,322 units | 262,746,035 | ||||||||||||||||||
| Short-Term Investment Fund II* | Collective Trust Fund 36,482,326 units | 36,482,326 | ||||||||||||||||||
| NT Collective Short Term Investment Fund* | Collective Trust Fund 54,278,427 units | 54,278,427 | ||||||||||||||||||
| Wrapper Contracts | — | |||||||||||||||||||
| Total Capital Preservation Asset Class | 741,775,659 | |||||||||||||||||||
| Fixed Income Active Asset Class: | ||||||||||||||||||||
| MetLife Core Plus Collective Fund* | Collective Trust Fund 8,096,601 units | 81,613,735 | ||||||||||||||||||
| Wellington Core Bond Plus Portfolio Collective Investment Trust II* | Collective Trust Fund 7,304,193 units | 81,149,579 | ||||||||||||||||||
| NT Collective Aggregate Bond Index Fund / Non Lending* | Collective Trust Fund 203,905 units | 30,628,555 | ||||||||||||||||||
| Schroder Global Strategic Bond Trust Class W* | Collective Trust Fund 2,345,420 units | 25,823,079 | ||||||||||||||||||
| Banc America Alternative Loan Trust Series 2004-6 Class 4A 15.0% Due 10-25-2048* | Corporate Bond 2,275 units | 1,887 | ||||||||||||||||||
| GMAC Mortgage Loan Trust 2003/J10 4.75% Due 01/25/2019 | Corporate Bond 1,131 units | 1,092 | ||||||||||||||||||
| NT Collective Short Term Investment Fund* | Collective Trust Fund 340 units | 340 | ||||||||||||||||||
| Total Fixed Income Active Asset Class | 219,218,267 | |||||||||||||||||||
| Fixed Income Index Asset Class: | ||||||||||||||||||||
| NT Collective Aggregate Bond Index Fund / Non Lending* | Collective Trust Fund 8,014,538 units | 1,203,863,804 | ||||||||||||||||||
| Total Fixed Income Index Asset Class | 1,203,863,804 | |||||||||||||||||||
| U.S. Equity Active Asset Class: | ||||||||||||||||||||
| NT Collective Russell 1000 Value Index Fund / Non Lending* | Collective Trust Fund 178,521 units | 113,885,436 | ||||||||||||||||||
| NT Collective Russell 3000 Index Fund / Non Lending* | Collective Trust Fund 227,333 units | 21,106,461 | ||||||||||||||||||
| Amazon Inc. | Common and Preferred Stock 76,247 shares | 16,727,829 | ||||||||||||||||||
| Nvidia Corporation | Common and Preferred Stock 111,652 shares | 14,993,747 | ||||||||||||||||||
| Microsoft Corporation | Common and Preferred Stock 35,065 shares | 14,779,898 | ||||||||||||||||||
| NT Collective Short Term Investment Fund* | Collective Trust Fund 10,902,997 units | 10,902,997 | ||||||||||||||||||
| Facebook Inc. Class A | Common and Preferred Stock 17,128 shares | 10,028,615 | ||||||||||||||||||
| Apple Inc. | Common and Preferred Stock 33,873 shares | 8,482,477 | ||||||||||||||||||
| Visa Inc. Class A | Common and Preferred Stock 25,247 shares | 7,979,062 | ||||||||||||||||||
| ServiceNow, Inc. | Common and Preferred Stock 7,498 shares | 7,948,780 | ||||||||||||||||||
| SS&C Technologies Holdings Inc. | Common and Preferred Stock 81,488 shares | 6,175,161 | ||||||||||||||||||
| Netflix, Inc. | Common and Preferred Stock 5,895 shares | 5,254,331 | ||||||||||||||||||
| Entegris Inc. | Common and Preferred Stock 50,467 shares | 4,999,261 | ||||||||||||||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| Atlassian Corporation Class A | Common and Preferred Stock 19,686 shares | 4,791,179 | ||||||||||||||||||
| CVS Health Corporation | Common and Preferred Stock 105,737 shares | 4,746,534 | ||||||||||||||||||
| UnitedHealth Group Inc. | Common and Preferred Stock 9,326 shares | 4,717,650 | ||||||||||||||||||
| Baxter International Inc. | Common and Preferred Stock 160,897 shares | 4,691,757 | ||||||||||||||||||
| Shopify Inc. Class A | Common and Preferred Stock 43,408 shares | 4,615,573 | ||||||||||||||||||
| Intuit Inc. | Common and Preferred Stock 7,241 shares | 4,550,969 | ||||||||||||||||||
| S&P Global Inc. | Common and Preferred Stock 8,979 shares | 4,471,811 | ||||||||||||||||||
| Citigroup Inc. | Common and Preferred Stock 61,883 shares | 4,355,944 | ||||||||||||||||||
| Aon PLC | Common and Preferred Stock 11,976 shares | 4,301,300 | ||||||||||||||||||
| Waste Management, Inc. | Common and Preferred Stock 20,616 shares | 4,160,103 | ||||||||||||||||||
| Gartner Inc. | Common and Preferred Stock 8,524 shares | 4,129,622 | ||||||||||||||||||
| Thermo Fisher Scientific Inc. | Common and Preferred Stock 7,776 shares | 4,045,308 | ||||||||||||||||||
| Yum! Brands, Inc. | Common and Preferred Stock 29,586 shares | 3,969,258 | ||||||||||||||||||
| Canadian Pacific Kansas City Limited | Common and Preferred Stock 54,562 shares | 3,948,652 | ||||||||||||||||||
| Halozyme Therapeutics Inc. | Common and Preferred Stock 82,078 shares | 3,924,149 | ||||||||||||||||||
| STERIS plc | Common and Preferred Stock 19,032 shares | 3,912,218 | ||||||||||||||||||
| Clean Harbors Inc. | Common and Preferred Stock 16,934 shares | 3,897,191 | ||||||||||||||||||
| Danaher Corporation | Common and Preferred Stock 16,967 shares | 3,894,775 | ||||||||||||||||||
| Novo Nordisk A/S | Common and Preferred Stock 44,759 shares | 3,850,169 | ||||||||||||||||||
| Wells Fargo & Company* | Common and Preferred Stock 54,547 shares | 3,831,381 | ||||||||||||||||||
| Capital One Financial Corporation | Common and Preferred Stock 21,446 shares | 3,824,251 | ||||||||||||||||||
| Dow Inc. | Common and Preferred Stock 93,143 shares | 3,737,829 | ||||||||||||||||||
| Datadog, Inc. | Common and Preferred Stock 25,946 shares | 3,707,424 | ||||||||||||||||||
| Fresenius Medical Care | Common and Preferred Stock 163,629 shares | 3,704,561 | ||||||||||||||||||
| MSCI Inc. | Common and Preferred Stock 6,074 shares | 3,644,461 | ||||||||||||||||||
| Synopsys Inc. | Common and Preferred Stock 7,292 shares | 3,539,245 | ||||||||||||||||||
| Amphenol Corporation Class A | Common and Preferred Stock 50,848 shares | 3,531,394 | ||||||||||||||||||
| Humana Inc. | Common and Preferred Stock 13,894 shares | 3,525,047 | ||||||||||||||||||
| Waste Connections Inc. | Common and Preferred Stock 20,230 shares | 3,471,061 | ||||||||||||||||||
| Euronet Worldwide Inc. | Common and Preferred Stock 33,372 shares | 3,431,976 | ||||||||||||||||||
| Dollar General Corporation | Common and Preferred Stock 45,041 shares | 3,415,009 | ||||||||||||||||||
| Global Payments Inc. | Common and Preferred Stock 30,288 shares | 3,394,073 | ||||||||||||||||||
| Ecolab Inc. | Common and Preferred Stock 14,359 shares | 3,364,601 | ||||||||||||||||||
| RB Global Inc. | Common and Preferred Stock 37,268 shares | 3,361,946 | ||||||||||||||||||
| Workday, Inc. | Common and Preferred Stock 12,972 shares | 3,347,165 | ||||||||||||||||||
| Magna International Inc. | Common and Preferred Stock 79,821 shares | 3,335,720 | ||||||||||||||||||
| DexCom, Inc. | Common and Preferred Stock 42,688 shares | 3,319,846 | ||||||||||||||||||
| Merit Medical Systems Inc. | Common and Preferred Stock 34,289 shares | 3,316,432 | ||||||||||||||||||
| Spotify Technology S.A. | Common and Preferred Stock 7,394 shares | 3,307,928 | ||||||||||||||||||
| Alphabet Inc. | Common and Preferred Stock 17,078 shares | 3,252,334 | ||||||||||||||||||
| MetLife Inc.* | Common and Preferred Stock 39,316 shares | 3,219,194 | ||||||||||||||||||
| Sea Limited | Common and Preferred Stock 29,479 shares | 3,127,722 | ||||||||||||||||||
| Churchill Downs Inc. | Common and Preferred Stock 23,263 shares | 3,106,541 | ||||||||||||||||||
| Equitable Holdings Inc. | Common and Preferred Stock 65,021 shares | 3,067,041 | ||||||||||||||||||
| Lear Corporation | Common and Preferred Stock 32,352 shares | 3,063,734 | ||||||||||||||||||
| Charter Communications Inc. | Common and Preferred Stock 8,868 shares | 3,039,684 | ||||||||||||||||||
| Samsara Inc. Class A | Common and Preferred Stock 69,516 shares | 3,037,154 | ||||||||||||||||||
| Cognizant Technology Solutions Corporation Class A | Common and Preferred Stock 39,418 shares | 3,031,244 | ||||||||||||||||||
| Block, Inc. | Common and Preferred Stock 34,972 shares | 2,972,270 | ||||||||||||||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| Autodesk, Inc. | Common and Preferred Stock 9,975 shares | 2,948,311 | ||||||||||||||||||
| Ametek Inc. | Common and Preferred Stock 16,255 shares | 2,930,126 | ||||||||||||||||||
| CarGurus Inc. Class A | Common and Preferred Stock 78,733 shares | 2,876,904 | ||||||||||||||||||
| Trimble Inc. | Common and Preferred Stock 40,642 shares | 2,871,764 | ||||||||||||||||||
| Bank of America Corporation* | Common and Preferred Stock 65,005 shares | 2,856,970 | ||||||||||||||||||
| Cloudflare, Inc. | Common and Preferred Stock 26,514 shares | 2,855,028 | ||||||||||||||||||
| American Express Company | Common and Preferred Stock 9,522 shares | 2,826,034 | ||||||||||||||||||
| BWX Technologies Inc. | Common and Preferred Stock 24,242 shares | 2,700,316 | ||||||||||||||||||
| Intercontinental Exchange, Inc. | Common and Preferred Stock 18,047 shares | 2,689,183 | ||||||||||||||||||
| Bio-Techne Corporation | Common and Preferred Stock 37,307 shares | 2,687,223 | ||||||||||||||||||
| HealthEquity Inc. | Common and Preferred Stock 27,378 shares | 2,626,919 | ||||||||||||||||||
| J2 Global Inc. | Common and Preferred Stock 47,244 shares | 2,567,239 | ||||||||||||||||||
| Delta Air Lines, Inc. | Common and Preferred Stock 41,633 shares | 2,518,797 | ||||||||||||||||||
| Brown & Brown Inc. | Common and Preferred Stock 24,520 shares | 2,501,530 | ||||||||||||||||||
| Amdocs Limited | Common and Preferred Stock 29,190 shares | 2,485,237 | ||||||||||||||||||
| Alight Inc. Class A | Common and Preferred Stock 358,557 shares | 2,481,214 | ||||||||||||||||||
| Pfizer Inc. | Common and Preferred Stock 93,060 shares | 2,468,882 | ||||||||||||||||||
| Bristol Myers Squibb | Common and Preferred Stock 43,459 shares | 2,458,041 | ||||||||||||||||||
| ASML Holding N.V. | Common and Preferred Stock 3,545 shares | 2,456,969 | ||||||||||||||||||
| Skyworks Solutions Inc | Common and Preferred Stock 27,136 shares | 2,406,420 | ||||||||||||||||||
| Shell plc | Common and Preferred Stock 38,214 shares | 2,394,107 | ||||||||||||||||||
| Voya Financial Inc. | Common and Preferred Stock 34,500 shares | 2,374,635 | ||||||||||||||||||
| Nu Holdings Limited | Common and Preferred Stock 229,156 shares | 2,374,056 | ||||||||||||||||||
| Ingredion Inc. | Common and Preferred Stock 17,102 shares | 2,352,551 | ||||||||||||||||||
| Okta Inc. | Common and Preferred Stock 29,814 shares | 2,349,343 | ||||||||||||||||||
| DoorDash, Inc. Class A | Common and Preferred Stock 13,674 shares | 2,293,814 | ||||||||||||||||||
| Tyson Foods Inc. | Common and Preferred Stock 39,902 shares | 2,291,971 | ||||||||||||||||||
| Medtronic PLC | Common and Preferred Stock 27,901 shares | 2,228,732 | ||||||||||||||||||
| LKQ Corporation | Common and Preferred Stock 60,322 shares | 2,216,834 | ||||||||||||||||||
| Huntington Bancshares Inc. | Common and Preferred Stock 135,001 shares | 2,196,466 | ||||||||||||||||||
| Salesforce.com Inc. | Common and Preferred Stock 6,545 shares | 2,188,190 | ||||||||||||||||||
| AppLovin Corporation Class A | Common and Preferred Stock 6,657 shares | 2,155,736 | ||||||||||||||||||
| IDEX Corporation | Common and Preferred Stock 10,262 shares | 2,147,734 | ||||||||||||||||||
| Doximity Inc. | Common and Preferred Stock 39,578 shares | 2,113,069 | ||||||||||||||||||
| Starbucks Corporation | Common and Preferred Stock 23,069 shares | 2,105,046 | ||||||||||||||||||
| Charles River Laboratories International Inc. | Common and Preferred Stock 11,403 shares | 2,104,994 | ||||||||||||||||||
| PVH Corporation | Common and Preferred Stock 19,544 shares | 2,066,778 | ||||||||||||||||||
| Newell Brands Inc. | Common and Preferred Stock 203,960 shares | 2,031,442 | ||||||||||||||||||
| Waystar Holding Corporation | Common and Preferred Stock 54,639 shares | 2,005,251 | ||||||||||||||||||
| TE Connectivity plc | Common and Preferred Stock 13,758 shares | 1,966,981 | ||||||||||||||||||
| Sensata Technologies BV Holding | Common and Preferred Stock 71,319 shares | 1,954,141 | ||||||||||||||||||
| Generac Holdings Inc. | Common and Preferred Stock 12,230 shares | 1,896,262 | ||||||||||||||||||
| Uber Technologies, Inc. | Common and Preferred Stock 31,333 shares | 1,890,007 | ||||||||||||||||||
| Viper Energy Inc. | Common and Preferred Stock 38,261 shares | 1,877,467 | ||||||||||||||||||
| The Cooper Companies, Inc. | Common and Preferred Stock 20,410 shares | 1,876,291 | ||||||||||||||||||
| UGI Corporation | Common and Preferred Stock 65,112 shares | 1,838,112 | ||||||||||||||||||
| Dynatrace Inc. | Common and Preferred Stock 33,790 shares | 1,836,487 | ||||||||||||||||||
| NOV Inc. | Common and Preferred Stock 124,784 shares | 1,821,846 | ||||||||||||||||||
| Henry Schein Inc. | Common and Preferred Stock 26,178 shares | 1,811,518 | ||||||||||||||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| Coherent Corporation | Common and Preferred Stock 18,810 shares | 1,781,871 | ||||||||||||||||||
| Heico Corporation Class A | Common and Preferred Stock 9,534 shares | 1,774,087 | ||||||||||||||||||
| MACOM Technology Solutions Holdings Inc. | Common and Preferred Stock 13,202 shares | 1,715,072 | ||||||||||||||||||
| First American Financial Corporation | Common and Preferred Stock 27,415 shares | 1,711,793 | ||||||||||||||||||
| Chewy Inc. Class A | Common and Preferred Stock 50,395 shares | 1,687,729 | ||||||||||||||||||
| Roblox Corporation Class A | Common and Preferred Stock 28,957 shares | 1,675,452 | ||||||||||||||||||
| Veracyte Inc. | Common and Preferred Stock 42,230 shares | 1,672,308 | ||||||||||||||||||
| GlobalFoundries Inc. | Common and Preferred Stock 38,926 shares | 1,670,315 | ||||||||||||||||||
| Remitly Global Inc. | Common and Preferred Stock 73,960 shares | 1,669,277 | ||||||||||||||||||
| Huron Consulting Group Inc. | Common and Preferred Stock 12,879 shares | 1,600,345 | ||||||||||||||||||
| Dolby Laboratories Inc. | Common and Preferred Stock 20,268 shares | 1,582,931 | ||||||||||||||||||
| AerCap Holdings N.V. | Common and Preferred Stock 16,495 shares | 1,578,572 | ||||||||||||||||||
| Cabot Corporation | Common and Preferred Stock 17,076 shares | 1,559,210 | ||||||||||||||||||
| Axon Enterprise, Inc. | Common and Preferred Stock 2,606 shares | 1,548,798 | ||||||||||||||||||
| Blackbaud, Inc. | Common and Preferred Stock 20,784 shares | 1,536,353 | ||||||||||||||||||
| UBS Group AG | Common and Preferred Stock 50,412 shares | 1,528,492 | ||||||||||||||||||
| Woodward Inc. | Common and Preferred Stock 8,908 shares | 1,482,469 | ||||||||||||||||||
| Snowflake Inc. Class A | Common and Preferred Stock 9,531 shares | 1,471,682 | ||||||||||||||||||
| Tandem Diabetes Care Inc. | Common and Preferred Stock 40,805 shares | 1,469,796 | ||||||||||||||||||
| Prosperity Bancshares Inc. | Common and Preferred Stock 19,211 shares | 1,447,549 | ||||||||||||||||||
| Ultragenyx Pharmaceutical Inc. | Common and Preferred Stock 33,724 shares | 1,418,769 | ||||||||||||||||||
| ACV Auctions Inc. Class A | Common and Preferred Stock 64,909 shares | 1,402,034 | ||||||||||||||||||
| Dycom Industries Inc. | Common and Preferred Stock 7,774 shares | 1,353,142 | ||||||||||||||||||
| Curtiss Wright Corporation | Common and Preferred Stock 3,800 shares | 1,348,506 | ||||||||||||||||||
| Belden Inc. | Common and Preferred Stock 11,970 shares | 1,347,942 | ||||||||||||||||||
| QuidelOrtho Corporation | Common and Preferred Stock 30,248 shares | 1,347,548 | ||||||||||||||||||
| National Retail Properties Inc. | Common and Preferred Stock 32,862 shares | 1,342,413 | ||||||||||||||||||
| nCino, Inc. | Common and Preferred Stock 39,576 shares | 1,328,962 | ||||||||||||||||||
| Copart Inc. | Common and Preferred Stock 23,149 shares | 1,328,521 | ||||||||||||||||||
| ACI Worldwide Inc. | Common and Preferred Stock 25,372 shares | 1,317,061 | ||||||||||||||||||
| Mid-American Apartment Communities Inc. | Common and Preferred Stock 8,492 shares | 1,312,608 | ||||||||||||||||||
| Teleflex Inc. | Common and Preferred Stock 7,364 shares | 1,310,645 | ||||||||||||||||||
| Itron Inc. | Common and Preferred Stock 11,995 shares | 1,302,417 | ||||||||||||||||||
| Toro Company | Common and Preferred Stock 16,152 shares | 1,293,775 | ||||||||||||||||||
| FMC Corporation | Common and Preferred Stock 25,597 shares | 1,244,270 | ||||||||||||||||||
| Summit Materials Inc. | Common and Preferred Stock 24,477 shares | 1,238,536 | ||||||||||||||||||
| Advanced Energy Industries Inc. | Common and Preferred Stock 10,458 shares | 1,209,259 | ||||||||||||||||||
| Kirby Corporation | Common and Preferred Stock 11,215 shares | 1,186,547 | ||||||||||||||||||
| Alamos Gold Inc. Class A | Common and Preferred Stock 62,978 shares | 1,161,314 | ||||||||||||||||||
| Permian Resources Corporation | Common and Preferred Stock 80,643 shares | 1,159,646 | ||||||||||||||||||
| WEX Inc. | Common and Preferred Stock 6,610 shares | 1,158,865 | ||||||||||||||||||
| Madrigal Pharmaceuticals, Inc. | Common and Preferred Stock 3,721 shares | 1,148,189 | ||||||||||||||||||
| Chart Industrials Inc. | Common and Preferred Stock 5,976 shares | 1,140,460 | ||||||||||||||||||
| BankUnited Inc. | Common and Preferred Stock 29,724 shares | 1,134,565 | ||||||||||||||||||
| FTI Consulting Inc. | Common and Preferred Stock 5,914 shares | 1,130,343 | ||||||||||||||||||
| Graco Inc. | Common and Preferred Stock 13,253 shares | 1,117,095 | ||||||||||||||||||
| Carlisle Companies Inc. | Common and Preferred Stock 3,024 shares | 1,115,372 | ||||||||||||||||||
| Middleby Corporation | Common and Preferred Stock 8,199 shares | 1,110,555 | ||||||||||||||||||
| Azekpany Inc. | Common and Preferred Stock 23,310 shares | 1,106,526 | ||||||||||||||||||
| TKO Group Holdings Inc. | Common and Preferred Stock 7,673 shares | 1,090,410 | ||||||||||||||||||
| John Bean Technologies Corporation | Common and Preferred Stock 8,454 shares | 1,074,503 | ||||||||||||||||||
| Iridium Communications Inc. | Common and Preferred Stock 36,855 shares | 1,069,532 | ||||||||||||||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| IAC Inc. | Common and Preferred Stock 24,687 shares | 1,064,997 | ||||||||||||||||||
| Rentokil Initial plc | Common and Preferred Stock 41,832 shares | 1,059,186 | ||||||||||||||||||
| Hexcel Corporation | Common and Preferred Stock 16,638 shares | 1,043,203 | ||||||||||||||||||
| Chemed Corporation | Common and Preferred Stock 1,945 shares | 1,030,461 | ||||||||||||||||||
| National Bank Holdings Corporation Class A | Common and Preferred Stock 23,413 shares | 1,008,164 | ||||||||||||||||||
| Encompass Health Corporation | Common and Preferred Stock 10,853 shares | 1,002,275 | ||||||||||||||||||
| Oceaneering International Inc. | Common and Preferred Stock 38,171 shares | 995,500 | ||||||||||||||||||
| Certara Inc. | Common and Preferred Stock 92,654 shares | 986,765 | ||||||||||||||||||
| Cimpress plc | Common and Preferred Stock 13,690 shares | 981,847 | ||||||||||||||||||
| JP Morgan Chase & Company | Common and Preferred Stock 4,083 shares | 978,736 | ||||||||||||||||||
| AptarGroup Inc. | Common and Preferred Stock 6,221 shares | 977,319 | ||||||||||||||||||
| Supernus Pharmaceuticals Inc. | Common and Preferred Stock 26,928 shares | 973,716 | ||||||||||||||||||
| Ciena Corporation | Common and Preferred Stock 11,465 shares | 972,347 | ||||||||||||||||||
| Range Resources Corporation | Common and Preferred Stock 26,841 shares | 965,739 | ||||||||||||||||||
| Globus Medical, Inc. Class A | Common and Preferred Stock 11,648 shares | 963,406 | ||||||||||||||||||
| Keysight Technologies Inc. | Common and Preferred Stock 5,943 shares | 954,624 | ||||||||||||||||||
| Pool Corporation | Common and Preferred Stock 2,772 shares | 945,086 | ||||||||||||||||||
| ASGN Inc. | Common and Preferred Stock 11,142 shares | 928,574 | ||||||||||||||||||
| Barnes Group Inc. | Common and Preferred Stock 19,453 shares | 919,349 | ||||||||||||||||||
| Prestige Consumer Healthcare Inc. | Common and Preferred Stock 11,711 shares | 914,512 | ||||||||||||||||||
| Sotera Health Company | Common and Preferred Stock 65,963 shares | 902,374 | ||||||||||||||||||
| Knowles Corporation | Common and Preferred Stock 45,024 shares | 897,328 | ||||||||||||||||||
| Hannon Armstrong Sustainable Infrastructure Capital Inc. | Common and Preferred Stock 33,322 shares | 894,029 | ||||||||||||||||||
| On Semiconductor Corporation | Common and Preferred Stock 14,094 shares | 888,627 | ||||||||||||||||||
| Box Inc. Class A | Common and Preferred Stock 27,909 shares | 881,924 | ||||||||||||||||||
| KBR, Inc. | Common and Preferred Stock 15,222 shares | 881,810 | ||||||||||||||||||
| Federal Signal Corporation | Common and Preferred Stock 9,140 shares | 844,445 | ||||||||||||||||||
| Omnicell Inc. | Common and Preferred Stock 18,940 shares | 843,209 | ||||||||||||||||||
| Tenable Holdings Inc. | Common and Preferred Stock 21,184 shares | 834,226 | ||||||||||||||||||
| WisdomTree Investments Inc. | Common and Preferred Stock 79,410 shares | 833,805 | ||||||||||||||||||
| Markel Corporation Holding Company | Common and Preferred Stock 474 shares | 818,233 | ||||||||||||||||||
| Wolverine World Wide Inc. | Common and Preferred Stock 36,775 shares | 816,405 | ||||||||||||||||||
| Albany International Corporation Class A | Common and Preferred Stock 9,977 shares | 797,861 | ||||||||||||||||||
| Applied Industrial Technologies Inc. | Common and Preferred Stock 3,263 shares | 781,391 | ||||||||||||||||||
| Sprout Social, Inc. Class A | Common and Preferred Stock 25,047 shares | 769,193 | ||||||||||||||||||
| Haemonetics Corporation | Common and Preferred Stock 9,762 shares | 762,217 | ||||||||||||||||||
| GFL Environmental Inc. | Common and Preferred Stock 16,522 shares | 735,890 | ||||||||||||||||||
| KB Home | Common and Preferred Stock 10,960 shares | 720,291 | ||||||||||||||||||
| Sally Beauty Holdings Inc. | Common and Preferred Stock 67,967 shares | 710,255 | ||||||||||||||||||
| Teledyne Technologies Inc. | Common and Preferred Stock 1,508 shares | 699,908 | ||||||||||||||||||
| Acadia Healthcare Company Inc. | Common and Preferred Stock 16,815 shares | 666,715 | ||||||||||||||||||
| SpringWorks Therapeutics Inc. | Common and Preferred Stock 18,379 shares | 664,033 | ||||||||||||||||||
| Core & Main, Inc. Class A | Common and Preferred Stock 13,018 shares | 662,746 | ||||||||||||||||||
| Sportradar Group | Common and Preferred Stock 37,259 shares | 646,071 | ||||||||||||||||||
| ZipRecruiter Inc. Class A | Common and Preferred Stock 87,084 shares | 630,488 | ||||||||||||||||||
| Consensus Cloud Solutions Inc. | Common and Preferred Stock 26,157 shares | 624,106 | ||||||||||||||||||
| Jacobs Solutions Inc. | Common and Preferred Stock 4,667 shares | 623,605 | ||||||||||||||||||
| SLR Investment Corporation | Common and Preferred Stock 36,915 shares | 596,546 | ||||||||||||||||||
| J & J Snack Foods Corporation | Common and Preferred Stock 3,824 shares | 593,217 | ||||||||||||||||||
| Knight-Swift Transportation Holdings Inc. Class A | Common and Preferred Stock 11,167 shares | 592,298 | ||||||||||||||||||
| Heartland Express Inc. | Common and Preferred Stock 52,207 shares | 585,763 | ||||||||||||||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| Axogen Inc. | Common and Preferred Stock 35,434 shares | 583,952 | ||||||||||||||||||
| Carter Inc. | Common and Preferred Stock 10,405 shares | 563,847 | ||||||||||||||||||
| Agios Pharmaceuticals Inc. | Common and Preferred Stock 17,090 shares | 561,577 | ||||||||||||||||||
| CONMED Corporation | Common and Preferred Stock 7,934 shares | 543,003 | ||||||||||||||||||
| Matthews International Corporation Class A | Common and Preferred Stock 19,608 shares | 542,749 | ||||||||||||||||||
| United Community Bank Blairsville Georgia | Common and Preferred Stock 16,791 shares | 542,517 | ||||||||||||||||||
| Tronox Holdings PLC | Common and Preferred Stock 52,326 shares | 526,923 | ||||||||||||||||||
| Nasdaq Inc. | Common and Preferred Stock 6,807 shares | 526,249 | ||||||||||||||||||
| N-Able Technologies International Inc. | Common and Preferred Stock 55,065 shares | 514,307 | ||||||||||||||||||
| Trinet Group Inc. | Common and Preferred Stock 5,655 shares | 513,304 | ||||||||||||||||||
| Skechers USA Inc. Class A | Common and Preferred Stock 7,556 shares | 508,065 | ||||||||||||||||||
| Banner Corporation | Common and Preferred Stock 7,545 shares | 503,780 | ||||||||||||||||||
| BRP Group Inc. Class A | Common and Preferred Stock 12,962 shares | 502,407 | ||||||||||||||||||
| WillScot Mobile Mini Holdings Corporation | Common and Preferred Stock 15,010 shares | 502,085 | ||||||||||||||||||
| Arvinas Inc. | Common and Preferred Stock 26,190 shares | 502,062 | ||||||||||||||||||
| Eagle Materials Inc. | Common and Preferred Stock 2,032 shares | 501,416 | ||||||||||||||||||
| Legend Biotech Corporation | Common and Preferred Stock 15,404 shares | 501,246 | ||||||||||||||||||
| STAG Industrial Inc. | Common and Preferred Stock 14,323 shares | 484,404 | ||||||||||||||||||
| Crescent Energy Company Class A | Common and Preferred Stock 33,122 shares | 483,912 | ||||||||||||||||||
| Elastic N.V. | Common and Preferred Stock 4,872 shares | 482,718 | ||||||||||||||||||
| Axalta Coating Systems Limited | Common and Preferred Stock 13,877 shares | 474,871 | ||||||||||||||||||
| Cohen & Steers Inc. | Common and Preferred Stock 5,070 shares | 468,164 | ||||||||||||||||||
| Matson Inc. | Common and Preferred Stock 3,438 shares | 463,580 | ||||||||||||||||||
| TreeHouse Foods Inc. | Common and Preferred Stock 13,185 shares | 463,189 | ||||||||||||||||||
| Wabtec Corporation | Common and Preferred Stock 2,384 shares | 451,983 | ||||||||||||||||||
| Align Technology Inc. | Common and Preferred Stock 2,115 shares | 440,999 | ||||||||||||||||||
| JBG SMITH Properties | Common and Preferred Stock 28,050 shares | 431,129 | ||||||||||||||||||
| Exact Sciences Corporation | Common and Preferred Stock 7,631 shares | 428,786 | ||||||||||||||||||
| Fox Factory Holding Corporation | Common and Preferred Stock 14,156 shares | 428,502 | ||||||||||||||||||
| GXO Logistics Inc. | Common and Preferred Stock 9,834 shares | 427,779 | ||||||||||||||||||
| Pacific Premier Bancorp Inc. | Common and Preferred Stock 17,052 shares | 424,936 | ||||||||||||||||||
| Littelfuse Inc. | Common and Preferred Stock 1,788 shares | 421,342 | ||||||||||||||||||
| Northern Oil & Gas Inc. | Common and Preferred Stock 11,292 shares | 419,611 | ||||||||||||||||||
| Silgan Holdings Inc. | Common and Preferred Stock 8,042 shares | 418,586 | ||||||||||||||||||
| Flowserve Corporation | Common and Preferred Stock 7,035 shares | 404,653 | ||||||||||||||||||
| First Interstate BancSystem | Common and Preferred Stock 12,177 shares | 395,387 | ||||||||||||||||||
| 8X8 Inc. | Common and Preferred Stock 146,281 shares | 390,570 | ||||||||||||||||||
| NorthWestern Corp | Common and Preferred Stock 6,742 shares | 360,427 | ||||||||||||||||||
| ALLETE Inc. | Common and Preferred Stock 5,552 shares | 359,770 | ||||||||||||||||||
| Monro Inc. | Common and Preferred Stock 14,442 shares | 358,162 | ||||||||||||||||||
| WSFS Financial Corporation | Common and Preferred Stock 6,655 shares | 353,580 | ||||||||||||||||||
| Mercury Systems Inc. | Common and Preferred Stock 8,249 shares | 346,458 | ||||||||||||||||||
| Healthpeak OP, LLC | Common and Preferred Stock 16,916 shares | 342,887 | ||||||||||||||||||
| Texas Capital Bancshares Inc. | Common and Preferred Stock 4,344 shares | 339,701 | ||||||||||||||||||
| Americold Realty Trust, Inc. | Common and Preferred Stock 15,870 shares | 339,618 | ||||||||||||||||||
| Amentum Holdings, Inc. | Common and Preferred Stock 15,523 shares | 326,449 | ||||||||||||||||||
| Boston Properties Inc. | Common and Preferred Stock 4,078 shares | 303,240 | ||||||||||||||||||
| Patterson-UTI Energy Inc. | Common and Preferred Stock 36,005 shares | 297,401 | ||||||||||||||||||
| NCR Corporation | Common and Preferred Stock 21,092 shares | 291,913 | ||||||||||||||||||
| Dyne Therapeutics, Inc. | Common and Preferred Stock 12,003 shares | 282,791 | ||||||||||||||||||
| 1-800-FLOWERS.COM Inc. Class A | Common and Preferred Stock 34,533 shares | 282,135 | ||||||||||||||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| Sonos Inc. | Common and Preferred Stock 17,904 shares | 269,276 | ||||||||||||||||||
| IPG Photonics Corporation | Common and Preferred Stock 3,635 shares | 264,337 | ||||||||||||||||||
| Rogers Corporation | Common and Preferred Stock 2,553 shares | 259,410 | ||||||||||||||||||
| StandardAero, Inc. | Common and Preferred Stock 10,216 shares | 252,948 | ||||||||||||||||||
| Nevro Corporation | Common and Preferred Stock 67,978 shares | 252,878 | ||||||||||||||||||
| Berkshire Hills Bancorp Inc. | Common and Preferred Stock 8,643 shares | 245,720 | ||||||||||||||||||
| Transmedics Group Inc. | Common and Preferred Stock 3,605 shares | 224,772 | ||||||||||||||||||
| Mednax Inc. | Common and Preferred Stock 16,137 shares | 211,717 | ||||||||||||||||||
| Nuvalent, Inc. Class A | Common and Preferred Stock 2,674 shares | 209,321 | ||||||||||||||||||
| Columbus McKinnon Corporation | Common and Preferred Stock 4,724 shares | 175,922 | ||||||||||||||||||
| Insight Enterprises, Inc. | Common and Preferred Stock 1,156 shares | 175,828 | ||||||||||||||||||
| Designer Brands Inc. Class A | Common and Preferred Stock 32,021 shares | 170,992 | ||||||||||||||||||
| Herbalife Nutrition Limited | Common and Preferred Stock 24,148 shares | 161,550 | ||||||||||||||||||
| eHealth Inc. | Common and Preferred Stock 12,746 shares | 119,812 | ||||||||||||||||||
| Nu Skin Enterprises Inc. Class A | Common and Preferred Stock 12,954 shares | 89,253 | ||||||||||||||||||
| Safehold Inc. | Common and Preferred Stock 4,652 shares | 85,969 | ||||||||||||||||||
| Total U.S. Equity Active Asset Class | 679,117,526 | |||||||||||||||||||
| U.S. Equity Index Asset Class: | ||||||||||||||||||||
| NT Collective Russell 3000 Index Fund / Non Lending* | Collective Trust Fund 22,328,542 units | 2,073,570,958 | ||||||||||||||||||
| Gaming & Leisure Properties Inc. | Common and Preferred Stock 155 shares | 7,465 | ||||||||||||||||||
| CTO Realty Growth Inc. | Common and Preferred Stock 83 shares | 1,636 | ||||||||||||||||||
| NT Collective Short Term Investment Fund* | Collective Trust Fund 328 units | 328 | ||||||||||||||||||
| Total U.S. Equity Index Asset Class | 2,073,580,387 | |||||||||||||||||||
| International Equity Active Asset Class: | ||||||||||||||||||||
| Mawer International Equity Collective Investment Trust Class B* | Collective Trust Fund 14,497,735 units | 256,920,164 | ||||||||||||||||||
| Polaris Capital Management Collective Investment Trust International Value Collective Fund* | Collective Trust Fund 20,282,037 units | 246,142,798 | ||||||||||||||||||
| Reliance Trust Institutional Retirement Trust GQG Partners International Equity Fund Series 11 Class C* | Collective Trust Fund 11,706,978 units | 186,492,162 | ||||||||||||||||||
| Dodge & Cox International Stock Fund | Mutual Fund 2,982,883 shares | 148,845,846 | ||||||||||||||||||
| Wilmington Trust Collective Investment Trust / Jennison International Equity Opportunities CIT Class J* | Collective Trust Fund 14,454,657 units | 144,662,208 | ||||||||||||||||||
| NT Collective MSCI All Country World Index (ACWI) ex/US Index Fund / Non Lending* | Collective Trust Fund 566,056 units | 127,783,078 | ||||||||||||||||||
| NT Collective Short Term Investment Fund* | Collective Trust Fund 38,030 units | 38,030 | ||||||||||||||||||
| Total International Equity Active Asset Class | 1,110,884,286 | |||||||||||||||||||
| International Equity Index Asset Class: | ||||||||||||||||||||
| NT Collective All Country World Index (ACWI) Ex/US Fund / Non Lending* | Collective Trust Fund 1,492,119 units | 307,495,939 | ||||||||||||||||||
| Total International Equity Index Asset Class | 307,495,939 | |||||||||||||||||||
| Participant Self-Directed Accounts | Various Investments | 999,716,674 | ||||||||||||||||||
| 999,716,674 | ||||||||||||||||||||
| Notes Receivable from Participants* | Interest Rate 4.25% - 9.50% | 35,185,439 | ||||||||||||||||||
| 35,185,439 | ||||||||||||||||||||
| Identity of Issue | Description of Investment | Current Value | ||||||||||||||||||
| Other: | ||||||||||||||||||||
| BIF Money Fund* | Cash and Cash Equivalents | 2,689,633 | ||||||||||||||||||
| ML Vanguard Federal Money Market Forfeiture / Settlement* | Cash and Cash Equivalents | 715,843 | ||||||||||||||||||
| NT Collective Short Term Investment Fund* | Collective Trust Fund 358,375 units | 358,375 | ||||||||||||||||||
| Interest-Bearing Cash | Cash and Cash Equivalents | 61,082 | ||||||||||||||||||
| Exide Technologies | Common and Preferred Stock 35,683 shares | 24,978 | ||||||||||||||||||
| Total Other | 3,849,911 | |||||||||||||||||||
| Grand Total | $ | 7,718,743,607 | ||||||||||||||||||
| * Indicates party-in-interest | ||||||||||||||
Amgen Retirement and Savings Plan (Name of Plan) | ||||||||||||||||||||
| Date: | June 12, 2025 | By: | /s/ PETER H. GRIFFITH | |||||||||||||||||
Peter H. Griffith | ||||||||||||||||||||
Executive Vice President and | ||||||||||||||||||||
Chief Financial Officer | ||||||||||||||||||||
Amgen Inc. | ||||||||||||||||||||