and Power Employees' Retirement Plan, (ix) 3,726 shares of Class A Common Stock held by the Board of Administration of the Water and Power Employees' Retirement, Disability and Death Benefits Insurance Plan on behalf of the Retiree Health Benefits Fund, (x) 6,739,200 shares of Class A Common Stock held by The Income Fund of America, (xi) 24,300 shares of Class A Common Stock held by Capital Group U.S. Multi-Sector – Income ETF, (xii) 16,200 shares of Class A Common Stock held by American Funds Strategic Bond Fund, (xiii) 22,194 shares of Class A Common Stock held by Capital Group U.S. High-Yield Trust (US), (xiv) 483,570 shares of Class A Common Stock held by American Funds Insurance Series – American High-Income Trust, (xv) 8,100 shares of Class A Common Stock held by American Funds Insurance Series – Capital World Bond Fund, and (xvi) 2,320,650 shares of Class A Common Stock held by American Funds Multi-Sector Income Fund. Capital Research and Management Company (“CRMC”) is the investment adviser for Capital World Bond Fund, American High-Income Trust, Capital Group Global High – Income Opportunities (LUX), Capital Group Multi-Sector – Income Fund (LUX), Capital Group UK - Global – High Income Opportunities, Capital Group US High Yield Fund (LUX), Capital Group Core Plus – Total Return Trust (US), The Income Fund of America, Capital Group U.S. Multi-Sector – Income ETF, American Funds Strategic Bond Fund, Capital Group U.S. High-Yield Trust (US), American Funds Insurance – Series - American High-Income Trust, American Funds Insurance Series – Capital World Bond Fund and American Funds Multi-Sector Income Fund (collectively, the “CRMC Funds”). Capital International, Inc. (“CII”) is the investment adviser for the Board of Administration of the Water and Power Employees’ Retirement, Disability and Death Benefits Insurance Plan on behalf of the Water and Power Employees’ Retirement Plan and the Board of Administration of the Water and Power Employees’ Retirement, Disability and Death Benefits Insurance Plan on behalf of the Retiree Health Benefits Fund (collectively, the “CII Funds”). CRMC or CII may be deemed to be the beneficial owner of the shares of Class A Common Stock held by each CRMC Fund or each CII Fund, as applicable; however, each of CRMC and CII expressly disclaims that it is, in fact, the beneficial owner of such securities. Philip Chitty, Andrew A. Cormack and Thomas Reithinger, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by Capital World Bond Fund. David A. Daigle, Tom Chow, Tara L. Torrens and Shannon Ward, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by American High-Income Trust. David A. Daigle, Kirstie Spence, Rob Neithart, Shannon Ward and Wesley Phoa, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by Capital Group Global High – Income Opportunities (LUX) and Capital Group UK - Global – High Income Opportunities. Barbara Burtin, Jody Jonsson, Steven T. Watson, Noriko Chen, Jonathan Knowles, Patrice Collette, Rob Lovelace, Brady Enright and Andraz Razen, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by Capital Group Multi-Sector – Income Fund (LUX). Andrew A. Cormack, Philip Chitty, Shannon Ward and Thomas H. Hogh, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by Capital Group US High Yield Fund (LUX). Ritchie Tuazon, Damien J. McCann, Xavier Goss and Timothy Ng, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by Capital Group Core Plus – Total Return Trust (US) and American Funds Strategic Bond Fund. Hilda L. Applbaum, Caroline Randall, Pramod Atluri, David A. Daigle, Paul Flynn, Shannon Ward, Dina N. Perry, John R. Queen, Anirudh Samsi, Andrew B. Suzman and Bradley J. Vogt, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by The Income Fund of America. Damien J. McCann, Scott Sykes, Shannon Ward and Xavier Goss, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by Capital Group U.S. Multi-Sector – Income ETF. Damien J. McCann, Kirstie Spence, Scott Sykes, Shannon Ward and Xavier Goss, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by American Funds Multi-Sector Income Fund. David A. Daigle, Tara L. Torrens, Shannon Ward and Tom Chow, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by Capital Group U.S. High-Yield Trust (US) and American Funds Insurance – Series - American High-Income Trust. Philip Chitty, Andrew A. Cormack and Thomas H. Hogh, as portfolio managers, have voting or investment control over the shares of Class A Common Stock held by American Funds Insurance Series – Capital World Bond Fund. The Board of Administration of the Water and Power Employees' Retirement, Disability and Death Benefits Insurance Plan has voting or investment control over the shares of Class A Common Stock held by the Water and Power Employees' Retirement Plan. The Board of Administration of the Water and Power Employees' Retirement, Disability and Death Benefits Insurance Plan has voting or investment control over the shares of Class A Common Stock held by the Retiree Health Benefits Fund. The address of Capital World Bond Fund, American High-Income Trust, American Funds Insurance Series - American High-Income Trust and American Funds Insurance Series – Capital World Bond Fund is 333 South Hope, 55th Floor, Los Angeles, CA 90071-1406. The address of Capital Group Global High – Income Opportunities (LUX), Capital Group Multi-Sector – Income Fund (LUX) and Capital Group US High Yield Fund (LUX) is 6C Route de Treves, Senningerberg L-2633. The address of Capital Group UK - Global – High Income Opportunities is 40, Grosvenor Place, London SW1X 7GG. The address of Capital Group Core Plus – Total Return Trust (US), The Income Fund of America, Capital Group U.S. Multi-Sector – Income ETF, American Funds Multi-Sector Income Fund, American Fund Strategic Bond Fund and Capital Group U.S. High-Yield Trust (US) is 6455 Irvine Center Drive, Irvine, CA 92618. The address of the Board of Administration of the Water and Power Employees' Retirement, Disability and Death Benefits Insurance Plan on behalf of the Water and Power Employees' Retirement Plan and the Board of Administration of the Water and Power Employees' Retirement, Disability and Death Benefits Insurance Plan on behalf of the Retiree Health Benefits Fund is 111 North Hope Street, Room 357, Los Angeles, CA 90012.
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| Consists of (i) 324,810 shares of Class A Common Stock held by SEI Global Master Fund Plc the SEI High Yield Fixed Income Fund, (ii) 171,720 shares of Class A Common Stock held by U.S. High Yield Bond Fund, (iii) 313,470 shares of Class A Common Stock held by SC CREDIT OPPORTUNITIES MANDATE, LLC, (iv) 178,200 shares of Class A Common Stock held by Panther BCM LLC Class B, (v) 943,164 shares of Class A Common Stock held by Teachers' Retirement System of the City of New York, (vi) 765,450 shares of Class A Common Stock held by New York City Police Pension Fund, Subchapter 2, (vii) 203,310 shares of Class A Common Stock held by New York City Fire Department Pension Fund, Subchapter Two, (viii) 299,700 shares of Class A Common Stock held by Panther BCM LLC, (ix) 121,500 shares of Class A Common Stock held by Brigade-SierraBravo Fund LP, (x) 1,014,120 shares of Class A Common Stock held by Mediolanum Best Brands, (xi) 375,030 shares of Class A Common Stock held by Mediolanum Strategia Globale Multi Bond, (xii) 372,600 shares of Class A Common Stock held by Brigade Leveraged Capital Structures Fund Ltd., (xiii) 983,340 shares of Class A Common Stock held by Los Angeles County Employees Retirement Association, (xiv) 89,100 shares of Class A Common Stock held by JPMorgan Funds – Multi-Manager Alternatives Fund, (xv) 123,930 shares of Class A Common Stock held by JPMorgan Chase Retirement Plan Brigade, (xvi) 288,360 shares of Class A Common Stock held by Goldman Sachs Trust II – Goldman Sachs Multi-Manager Non-Core Fixed Income Fund, (xvii) 158,760 shares of Class A Common Stock held by Northrop Grunman Pension Master Trust, (xviii) 590,490 shares of Class A Common Stock held by FedEx Corporation Employees' Pension Trust, (xix) 121,500 shares of Class A Common Stock held by City of Phoenix Employees' Retirement Plan, (xx) 359,640 shares of Class A Common Stock held by Brigade Debt Funding II, Ltd., (xxi) 450,360 shares of Class A Common Stock held by Brigade Debt Funding I, Ltd., (xxii) 422,010 shares of Class A Common Stock held by Platinum Peregrine A 2012 RSC Limited, (xxiii) 127,170 shares of Class A Common Stock held by Big River Group Fund SPC LLC, (xxiv) 413,100 shares of Class A Common Stock held by Brigade High Yield Fund Ltd., (xxv) 200,070 shares of Class A Common Stock held by Brigade Collective |