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Share Name | Share Symbol | Market | Type |
---|---|---|---|
National Fuel Gas Co | NYSE:NFG | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
-0.11 | -0.18% | 60.84 | 61.42 | 60.675 | 61.21 | 442,930 | 00:43:13 |
1.
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Plan financial statements and schedules prepared in accordance with financial reporting requirements of ERISA.
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2.
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Signatures
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3.
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Exhibit
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Exhibit Number
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Description of Exhibit
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23
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Consent of Independent Registered Public Accounting Firm
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Page
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Number
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Financial Statements:
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Supplemental Schedule:
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December 31,
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2016
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2015
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Assets
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Investments at Fair Value
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$
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118,904,733
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$
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106,928,830
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Receivables:
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Notes Receivable from Participants
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1,851,714
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2,001,981
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Employer Contributions
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156,509
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154,221
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Dividends Receivable
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20,701
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23,247
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Total Assets
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120,933,657
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109,108,279
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Liabilities:
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Dividends Payable to Participants
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20,701
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23,247
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Net Assets Available for Benefits
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$
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120,912,956
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$
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109,085,032
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December 31,
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2016
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2015
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Investment Income from National Fuel Gas Company ESOP Fund
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$
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1,204,263
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$
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1,234,420
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Interest and Dividend Income
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299,176
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312,831
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Investment Income from Mutual Funds
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1,554,303
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1,527,016
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Total Investment Income
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3,057,742
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3,074,267
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Net Appreciation (Depreciation) in Fair Value of Investments
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13,706,176
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(22,468,290
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)
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Interest Income from Notes Receivable from Participants
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81,086
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82,973
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Employer Contributions
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1,762,615
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1,636,954
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Participant Contributions
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3,802,532
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3,894,048
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Participant Purchase and Loan Fees
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(4,440
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(4,480
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)
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Rollovers and Other Individual Transfers Out
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(106,850
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)
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(1,033,537
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)
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Dividend Payments to Participants
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(85,195
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)
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(99,252
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)
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Benefit Payments to Participants or Beneficiaries
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(10,385,742
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)
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(13,269,153
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Increase (Decrease) In Net Assets Available for Benefits
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11,827,924
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(28,186,470
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Net Assets Available for Benefits:
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Beginning of Year
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109,085,032
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137,271,502
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End of Year
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$
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120,912,956
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$
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109,085,032
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Recurring Fair Value Measures:
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At Fair Value as of December 31, 2016
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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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Investments:
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National Fuel Gas Company ESOP Fund
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$
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—
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$
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42,507,319
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$
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—
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$
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42,507,319
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Mutual Funds
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61,502,204
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—
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—
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61,502,204
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$
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61,502,204
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$
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42,507,319
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$
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—
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$
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104,009,523
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Common/Collective Trust Fund, at net asset value
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14,895,210
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Total Investments
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$
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118,904,733
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Recurring Fair Value Measures:
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At Fair Value as of December 31, 2015
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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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Investments:
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National Fuel Gas Company ESOP Fund
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$
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—
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$
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33,688,546
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$
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—
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$
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33,688,546
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Mutual Funds
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57,545,412
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—
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—
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57,545,412
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$
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57,545,412
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$
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33,688,546
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$
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—
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$
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91,233,958
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Common/Collective Trust Fund, at net asset value
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15,694,872
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Total Investments
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$
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106,928,830
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2016
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2015
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Increase (Decrease) in net assets available for benefits per the financial statements
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$
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11,827,924
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$
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(28,186,470
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Change in adjustment from contract value to fair value for fully benefit-responsive investment contracts
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0
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(487,075
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Increase (Decrease) in net assets available for benefits per Form 5500
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$
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11,827,924
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$
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(28,673,545
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(b) Identity of Issue,
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(c) Description of Investment
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Borrower, Lessor
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Including Maturity Date, Rate of Interest,
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(e) Current
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(a)
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or Similar Party
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Collateral, Par or Maturity Value
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(d) Cost
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Value
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*
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National Fuel Gas Company
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ESOP Fund (1,062,020 units)
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**
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$
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42,507,319
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Mutual Funds:
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*
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Vanguard Group of Investment Companies
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Institutional Index Fund (136,560 units)
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**
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27,835,072
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*
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Vanguard Group of Investment Companies
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Total Bond Market Index Fund (1,033,002 units)
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**
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11,001,467
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*
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Vanguard Group of Investment Companies
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STAR Fund (341,008 units)
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**
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8,075,065
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*
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Vanguard Group of Investment Companies
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Extended Market Index Fund (69,921 units)
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**
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5,084,661
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*
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Vanguard Group of Investment Companies
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Prime Money Market Fund (3,833,153 units)
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**
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3,833,153
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*
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Vanguard Group of Investment Companies
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European Stock Index Fund (117,332 units)
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**
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3,000,170
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*
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Vanguard Group of Investment Companies
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Pacific Stock Index Fund (144,024 units)
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**
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1,584,263
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*
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Vanguard Group of Investment Companies
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Growth Index Fund (13,485 units)
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**
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772,800
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*
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Vanguard Group of Investment Companies
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Value Index Fund (8,710 units)
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**
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315,553
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Total Vanguard Mutual Funds
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61,502,204
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Common/Collective Trust (1):
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*
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Vanguard Group of Investment Companies
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Retirement Savings Trust III (14,895,210 units)
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**
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14,895,210
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*
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National Fuel Gas Company Tax-Deferred Savings Plan
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Participant Loan Account (Interest rates range from 4.25% to 8.25%)
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1,851,714
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TOTAL
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$
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120,756,447
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(1)
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The audited annual report for the Vanguard Retirement Savings Trust has been filed with the Department of Labor by the Vanguard Fiduciary Trust Company. The entity's tax identification number is 23-2186884.
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Exhibit Number
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Description of Exhibit
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23
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Consent of Independent Registered Public Accounting Firm
|
1 Year National Fuel Gas Chart |
1 Month National Fuel Gas Chart |
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