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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Ensco Plc New | NYSE:ESV | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 8.27 | 0 | 01:00:00 |
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(Mark One)
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SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
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ý
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ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE
SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2018
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OR
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¨
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TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE
SECURITIES EXCHANGE ACT OF 1934
For the transition period from _______ to ________
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Commission File Number 1-8097
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A. Full title of the plan and the address of the plan, if different from that of the issuer named below:
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Ensco Savings Plan
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B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
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Ensco Rowan plc
6 Chesterfield Gardens London, England W1J 5BQ |
Financial Statements:
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Supplemental Information:
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2018
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2017
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ASSETS:
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Investments, at fair value
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$
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449,826,768
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$
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449,078,568
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Receivables:
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Participant contributions
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788,066
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618,064
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Employer contributions
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506,540
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315,895
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Notes receivable from participants
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15,903,143
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14,453,940
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NET ASSETS AVAILABLE FOR BENEFITS
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$
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467,024,517
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$
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464,466,467
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2018
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2017
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ADDITIONS TO (REDUCTIONS FROM) NET ASSETS ATTRIBUTED TO:
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Interest and dividends
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$
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3,316,189
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$
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2,847,242
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Participant contributions
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15,758,712
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14,264,044
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Employer contributions
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9,611,131
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7,950,730
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Net appreciation (depreciation) in the fair value of investments
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(39,055,968
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)
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48,158,472
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Interest income on notes receivable from participants
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769,328
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631,655
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Other income
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340,830
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359,898
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Total additions (reductions)
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(9,259,778
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)
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74,212,041
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DEDUCTIONS FROM NET ASSETS ATTRIBUTED TO:
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Distributions to participants
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61,703,012
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56,110,339
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Fees
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419,239
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459,271
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Total deductions
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62,122,251
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56,569,610
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NET INCREASE (DECREASE) IN NET ASSETS AVAILABLE FOR BENEFITS
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(71,382,029
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)
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17,642,431
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Transfer in of Atwood Oceanics, Inc. 401(k) plan assets
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73,940,079
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—
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NET ASSETS AVAILABLE FOR BENEFITS:
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Beginning of year
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464,466,467
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446,824,036
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End of year
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$
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467,024,517
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$
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464,466,467
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Completed years of service
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Vested percentage
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Less than one year
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0%
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One year
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33%
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Two years
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67%
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Three or more years
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100%
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Quoted Prices in
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Significant
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Active Markets
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Other
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Significant
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for
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Observable
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Unobservable
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Identical Assets
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Inputs
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Inputs
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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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As of December 31, 2018
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Mutual funds
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$
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33,160,737
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$
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—
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$
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—
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$
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33,160,737
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EnscoRowan Fund
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17,993,484
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—
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—
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17,993,484
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Common collective trust funds
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—
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324,805,004
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—
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324,805,004
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Total investments at fair value in hierarchy
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$
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51,154,221
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$
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324,805,004
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—
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$
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375,959,225
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Investments measured at net asset value
(1)
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Stable Value Common Trust Fund
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73,867,543
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Investments at fair value
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$
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449,826,768
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As of December 31, 2017
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Mutual funds
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$
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36,273,777
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$
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—
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$
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—
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$
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36,273,777
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EnscoRowan Fund
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22,687,319
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—
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—
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22,687,319
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Common collective trust funds
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—
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315,410,671
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—
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315,410,671
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Total investments at fair value in hierarchy
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$
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58,961,096
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$
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315,410,671
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—
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$
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374,371,767
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Investments measured at net asset value
(1)
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Stable Value Common Trust Fund
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74,706,801
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Investments at fair value
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$
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449,078,568
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(1)
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Certain investments that were measured at net asset value per share have not been classified 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 statements of net assets available for benefits.
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Redemption
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Frequency
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Redemption
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Fair
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Unfunded
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(If Currently
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Notice
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December 31, 2018
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Value
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Commitments
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Eligible)
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Period
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Stable Value Common Trust Fund
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$73,867,543
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N/A
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Daily
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12 months
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Redemption
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Frequency
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Redemption
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Fair
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Unfunded
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(If Currently
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Notice
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December 31, 2017
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Value
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Commitments
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Eligible)
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Period
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Stable Value Common Trust Fund
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$74,706,801
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N/A
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Daily
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12 months
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Identity of Issue or Party Involved
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Description of Investment
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Rate of Interest
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Fair Value
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*T. Rowe Price Stable
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Value Common Trust Fund
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Common Collective Trust Fund
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—
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$
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73,867,543
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Blackrock Russell 1000 Index Fund M
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Common Collective Trust Fund
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—
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88,332,683
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Blackrock Mid-Cap Equity Index Fund M
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Common Collective Trust Fund
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—
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33,264,498
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Blackrock Russell 2000 Index Fund T
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Common Collective Trust Fund
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—
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23,640,907
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*T. Rowe Price Spectrum Income Fund
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Mutual Fund
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—
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10,579,035
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American Funds Euro Pacific Growth Fund
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Mutual Fund
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—
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9,606,984
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Vanguard Bond Fund
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Mutual Fund
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—
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7,020,751
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Principal Diversified Real Asset Fund Instl
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Mutual Fund
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—
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3,344,261
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DFA Emerging Market Fund
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Mutual Fund
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—
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2,061,614
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Vanguard Prime Money Market Fund
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Mutual Fund
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—
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548,092
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BlackRock Lifepath Ind Ret L Fund
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Common Collective Trust Fund
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—
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10,169,171
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BlackRock Lifepath Ind 2020 L Fund
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Common Collective Trust Fund
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—
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18,179,668
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BlackRock Lifepath Ind 2025 L Fund
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Common Collective Trust Fund
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—
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19,256,150
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BlackRock Lifepath Ind 2030 L Fund
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Common Collective Trust Fund
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—
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24,169,234
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BlackRock Lifepath Ind 2035 L Fund
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Common Collective Trust Fund
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—
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24,704,951
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BlackRock Lifepath Ind 2040 L Fund
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Common Collective Trust Fund
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—
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24,536,263
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BlackRock Lifepath Ind 2045 L Fund
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Common Collective Trust Fund
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—
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27,141,809
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BlackRock Lifepath Ind 2050 L Fund
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Common Collective Trust Fund
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—
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19,817,935
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BlackRock Lifepath Ind 2055 L Fund
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Common Collective Trust Fund
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—
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10,421,616
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BlackRock Lifepath Ind 2060 L Fund
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Common Collective Trust Fund
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—
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1,170,119
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431,833,284
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Employer securities:
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*EnscoRowan Fund
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Ensco Rowan plc Shares
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—
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17,993,484
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*Participant Loans
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Participant Loans,
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3.25% - 6.25%
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15,903,143
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maturity dates ranging
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from January 2019
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to April 2045
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$
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465,729,911
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Ensco Savings Plan
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By:
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ENSCO International Incorporated
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Plan Administrator
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Date:
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June 24, 2019
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/s/ COLLEEN GRABLE
Colleen Grable
Vice President and Secretary
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Exhibit No.
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Description
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23.1
|
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1 Year Ensco Chart |
1 Month Ensco Chart |
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