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Share Name | Share Symbol | Market | Type |
---|---|---|---|
NYSE:CNW | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 47.55 | 0 | 01:00:00 |
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Page
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Report of Independent Registered Public Accounting Firm
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Financial Statements:
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Statements of Net Assets Available for Benefits – December 31, 2013 and 2012
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Statement of Changes in Net Assets Available for Benefits – Year ended December 31, 2013
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Notes to Financial Statements
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Supplemental Schedule:
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Schedule H, Line 4i – Schedule of Assets (Held at End of Year) as of December 31, 2013
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Signatures
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Exhibit Index
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December 31,
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2013
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2012
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Assets
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Investments, at fair value:
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Mutual funds
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$
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52,116,008
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$
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26,163,906
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Common trust funds
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1,278,658
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909,480
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Con-way common stock
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554,147
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426,503
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Total investments
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53,948,813
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27,499,889
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Receivables:
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Participant contributions
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—
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142,332
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Con-way contributions
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1,817,927
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—
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Notes receivable from participants
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4,003,774
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1,728,292
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Total receivables
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5,821,701
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1,870,624
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Cash
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7,899
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5,194
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Net assets available for benefits
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$
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59,778,413
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$
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29,375,707
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Year Ended
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December 31, 2013
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Additions:
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Participant contributions
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$
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17,074,035
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Con-way contributions
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6,813,781
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Rollover contributions
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1,960,423
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Net appreciation in fair value of investments
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7,476,464
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Dividend and interest income
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1,382,967
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Interest received on notes receivable from participants
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112,741
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Transfers in from Con-way Retirement Savings Plan
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38,989
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Total additions
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34,859,400
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Deductions:
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Distributions to participants
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(4,456,694
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)
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Net increase
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30,402,706
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Net assets available for benefits, beginning of year
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29,375,707
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Net assets available for benefits, end of year
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$
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59,778,413
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December 31, 2013
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Level 1
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Level 2
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Level 3
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Total
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Mutual funds:
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Targeted retirement date
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$
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47,429,607
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$
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—
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$
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—
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$
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47,429,607
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U.S. large company growth
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1,778,628
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—
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—
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1,778,628
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U.S. small company growth
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1,038,155
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—
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—
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1,038,155
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International equity
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638,427
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—
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—
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638,427
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Fixed income
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626,081
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—
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—
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626,081
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U.S. large company value
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605,110
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—
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—
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605,110
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Total mutual funds
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52,116,008
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—
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—
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52,116,008
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Common trust funds:
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U.S. equity index
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—
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550,026
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—
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550,026
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Money market
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—
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490,976
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—
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490,976
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Fixed income
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—
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149,672
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—
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149,672
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Balanced
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—
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87,984
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—
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87,984
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Total common trust funds
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—
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1,278,658
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—
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1,278,658
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Con-way common stock
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554,147
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—
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—
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554,147
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Total assets at fair value
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$
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52,670,155
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$
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1,278,658
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$
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—
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$
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53,948,813
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December 31, 2012
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Level 1
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Level 2
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Level 3
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Total
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Mutual funds:
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Targeted retirement date
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$
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24,012,304
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$
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—
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$
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—
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$
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24,012,304
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U.S. large company growth
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805,246
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—
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—
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805,246
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U.S. small company growth
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378,270
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—
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—
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378,270
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International equity
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269,854
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—
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—
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269,854
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Fixed income
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396,411
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—
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—
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396,411
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U.S. large company value
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301,821
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—
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—
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301,821
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Total mutual funds
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26,163,906
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—
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—
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26,163,906
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Common trust funds:
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U.S. equity index
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—
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257,665
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—
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257,665
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Money market
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—
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498,169
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—
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498,169
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Fixed income
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—
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124,864
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—
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124,864
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Balanced
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—
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28,782
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—
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28,782
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Total common trust funds
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—
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909,480
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—
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909,480
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Con-way common stock
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426,503
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—
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—
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426,503
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Total assets at fair value
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$
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26,590,409
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$
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909,480
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$
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—
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$
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27,499,889
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Mutual funds
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$
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7,146,030
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Common trust funds
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118,911
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Con-way common stock
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211,523
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$
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7,476,464
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Identity of issue, borrower, lessor or similar party
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Description of investment including maturity date, rate of interest, collateral, par, or maturity value
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Cost
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Current value
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Mutual funds:
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*
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T. Rowe Price
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Growth Stock Fund (21,976 shares)
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$
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897,070
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$
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1,155,278
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*
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T. Rowe Price
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Equity Income Fund (18,426 shares)
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524,193
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605,110
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*
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T. Rowe Price
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Science and Technology Fund (15,942 shares)
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468,164
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623,350
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*
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T. Rowe Price
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Small-Cap Stock Fund (23,298 shares)
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888,221
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1,038,155
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*
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T. Rowe Price
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Retirement 2005 Fund (3,671 shares)
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46,067
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47,439
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*
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T. Rowe Price
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Retirement 2010 Fund (9,545 shares)
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161,660
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170,087
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*
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T. Rowe Price
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Retirement 2015 Fund (63,501 shares)
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852,724
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909,331
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*
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T. Rowe Price
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Retirement 2020 Fund (166,226 shares)
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3,098,714
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3,389,356
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*
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T. Rowe Price
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Retirement 2025 Fund (377,730 shares)
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5,187,221
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5,809,491
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*
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T. Rowe Price
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Retirement 2030 Fund (343,218 shares)
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6,836,627
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7,756,732
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*
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T. Rowe Price
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Retirement 2035 Fund (456,748 shares)
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6,524,524
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7,435,859
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*
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T. Rowe Price
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Retirement 2040 Fund (287,400 shares)
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5,848,016
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6,728,029
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*
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T. Rowe Price
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Retirement 2045 Fund (379,598 shares)
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5,169,255
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5,925,526
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*
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T. Rowe Price
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Retirement 2050 Fund (456,212 shares)
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5,204,187
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5,958,130
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*
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T. Rowe Price
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Retirement 2055 Fund (251,719 shares)
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2,856,994
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3,254,721
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*
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T. Rowe Price
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Retirement Income Fund (3,038 shares)
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43,331
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44,906
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PIMCO
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Total Return Institutional Fund (58,567 shares)
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650,042
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626,081
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Dodge & Cox
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International Stock Fund (14,833 shares)
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546,112
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638,427
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Common trust funds:
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*
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T. Rowe Price
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Equity Index Trust Class C (26,584 shares)
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449,763
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550,026
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*
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T. Rowe Price
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Bond Index Trust (4,536 shares)
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151,703
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|
149,672
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*
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T. Rowe Price
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U.S. Treasury Money Market Trust (490,976 shares)
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490,976
|
|
|
490,976
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*
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T. Rowe Price
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Retirement Strategy Trust - Balanced (2,087 shares)
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80,082
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87,984
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Common stock:
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*
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Con-way Inc.
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Con-way Common Stock (13,955 shares)
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475,569
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554,147
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Participant loans:
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*
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Notes Receivable from Participants
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Participant loans with interest at 4.25% and maturity dates through 2018
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|
—
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4,003,774
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||
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$
|
57,952,587
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*
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Represents a party-in-interest as of December 31, 2013.
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Note: Cost is calculated using the current value rolling-average cost method.
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Con-way Personal Savings Plan
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(Name of Plan)
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June 19, 2014
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/s/ Michael J. Morris
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Michael J. Morris
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Chairman, Con-way Inc. Administrative Committee
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Exhibit Number
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Exhibit
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23.1
|
|
Consent of Independent Registered Public Accounting Firm
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1 Year CNF Chart |
1 Month CNF Chart |
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