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									Created by EDGAR Online, Inc.

PG&E CORP
TABLE1
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   PG&E CORPORATION
   RETIREMENT SAVINGS PLAN

   STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
   (in thousands)



   ASSETS
   Plan interest in Master Trust investments, at fair value
   Participant loans (1,784 and 1,861 loans outstanding in 2008
   and 2007, respectively, and interest rates ranging from 5.0%
   to 10.5% in both years)
   Total investments, at fair value
   LIABILITIES
   Administrative expenses payable
   Net assets reflecting all investments at fair value
   Adjustment from fair value to contract value for fully
   benefit-responsive investment contracts (Note 2)
   NET ASSETS AVAILABLE FOR BENEFITS
     As of December 31,
         2008                  2007

$   1,664,850   $         2,354,675


       19,263                18,836
    1,684,113             2,373,511

           12                   -
    1,684,101             2,373,511

       28,895                 1,406
$   1,712,996   $         2,374,917
Created by EDGAR Online, Inc.

PG&E CORP
TABLE2
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   PG&E CORPORATION
   RETIREMENT SAVINGS PLAN

   STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
   (in thousands)



   ADDITIONS TO NET ASSETS ATTRIBUTABLE TO:
   Investment (Loss) Income:
   Plan interest in Master Trust investment (loss) income
   Contributions:
   Employer
   Participant
   Total contributions
   Total additions, net
   DEDUCTIONS FROM NET ASSETS ATTRIBUTABLE TO:
   Benefit distributions to participants
   Administrative expenses
   Total deductions
   NET (DECREASE) INCREASE BEFORE ASSET TRANSFERS
   Asset transfers, net
   NET (DECREASE) INCREASE
   NET ASSETS AVAILABLE FOR BENEFITS:
   Beginning of year
   End of year
    Year ended December 31,
           2008               2007


$     (484,767) $         114,573

        24,027             24,675
        72,197             74,947
        96,224             99,622
      (388,543)           214,195

       143,263            176,518
           239                211
       143,502            176,729
      (532,045)            37,466
      (129,876)           (29,276)
      (661,921)             8,190

     2,374,917           2,366,727
$    1,712,996    $      2,374,917
Created by EDGAR Online, Inc.

PG&E CORP
TABLE3
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                                                 As of December 31,
   (in thousands)                                                    2008
   Mutual funds                                             $     642,437
   Employer stock fund                                          1,093,739
   Common/collective trusts                                     1,067,592
   Fully benefit-responsive investment contracts                  896,498
   Investments at fair value                                    3,700,266
   Adjustment from fair value to contract value for fully
   benefit-responsive investment contracts                         69,314
   Total Master Trust investments                           $   3,769,580
   Total Master Trust investments by plan:
   RSP                                                      $   1,693,745
   Union RSP                                                    2,075,835
   Total all plans                                          $   3,769,580
As of December 31,
                          2007
         $           1,076,203
                     1,203,651
                     1,683,709
                       845,704
                     4,809,267

                         3,073
         $           4,812,340

         $           2,356,081
                     2,456,259
         $           4,812,340
Created by EDGAR Online, Inc.

PG&E CORP
TABLE4
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                                                      Year ended December 31,
   (in thousands)                                                             2008
   Net (depreciation) appreciation in fair value of
   investments:
   Mutual funds                                                   $       (427,289)
   Employer stock fund                                                    (111,600)
   Common/collective trusts                                               (514,501)
   Net (depreciation) appreciation in fair value of investments         (1,053,390)
   Net appreciation in contract value of fully
   benefit-responsive investment contracts                                 40,104
   Dividends                                                               66,498
   Other investment income                                                  4,642
   Total Master Trust investment (loss) income                    $      (942,146)
   Total Master Trust investment (loss) income by plan:
   RSP                                                            $      (484,767)
   Union RSP                                                             (457,379)
   Total all plans                                                $      (942,146)
ear ended December 31,
                         2007


            $          37,784
                     (104,723)
                      101,981
                       35,042

                      26,030
                     116,452
                       4,047
            $        181,571

            $        114,573
                      66,998
            $        181,571
Created by EDGAR Online, Inc.

PG&E CORP
TABLE5
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                            Year ended December 31,
   (in thousands)                                  2008             2007
   PG&E Corporation Stock Fund          $      400,320 $         445,431
   RSP Large Company Stock Index Fund          267,821           476,757
   RSP Stable Value Fund                       402,618           388,420
Created by EDGAR Online, Inc.

PG&E CORP
TABLE6
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   (in thousands)                                  Level 1             Level 2
   Master Trust Investments:
   Mutual funds                                    $         642,437             $   -
   Employer stock fund                                           -                   -
   Common/collective trusts                                      -                   -
   Fully benefit-responsive investment contracts                 -                   -
   Total Master Trust Investments, at Fair Value   $         642,437             $   -
Level 3               Total

$               -     $         642,437
          1,093,739           1,093,739
          1,067,592           1,067,592
            896,498             896,498
$         3,057,829   $       3,700,266
Created by EDGAR Online, Inc.

PG&E CORP
TABLE7
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   Level 3 Rollfoward

               The following tables are reconciliations of changes in fair value of financial
            instruments for the year ended December 31, 2008 that have been classified as
   Level 3 in the fair value hierarchy:

                                                                             Common/
                                                       Employer              Collective
   (in thousands)                                      Stock Fund            Trusts
   Balance at January 1, 2008                           $         1,203,651 $           1,683,709
   Realized gains (losses)                                           25,115                38,893
   Unrealized gains (losses)                                       (136,715)             (553,394)
   Adjustment from fair value to contract
   value for fully benefit-responsive
   investment contracts                                                  -                      -
   Purchases and settlements                                           1,688               (101,616)
   Transfers in/out of Level 3                                           -                      -
   Balance at December 31, 2008                         $          1,093,739    $         1,067,592



   (in thousands)                                      Participant Loans
   Balance at January 1, 2008                                                   $               18,836
   Purchases and settlements                                                                       427
   Balance at December 31, 2008                                                 $               19,263
Fully
Benefit-Responsive
Investment Contracts      Total
 $                845,704 $       3,733,064
                   17,229            81,237
                   22,875          (667,234)


                 (66,241)           (66,241)
                  76,931            (22,997)
                     -                  -
$                896,498 $        3,057,829
Created by EDGAR Online, Inc.

PG&E CORP
TABLE8
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                                         Year ended
                                                         December 31,
                                                                    2008    2007
   Based on actual earnings (1)                                    5.93%   5.50%
   Based on interest rate credited to participants (2)             3.87%   4.73%
Created by EDGAR Online, Inc.

PG&E CORP
TABLE9
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                                           Investments at
   (in thousands)                   Major Credit Ratings   Fair Value

   Bank of America - 04-022
   Contract
   Target 2 Fund                                           $          71,285
   Target 5 Fund                                                      21,036
   Intermediate Core Fund                                             42,579
   Total                            AAA/Aaa                          134,900
   ING Life & Annuity 60110
   Contract
   Target 2 Fund                                                      42,573
   Target 5 Fund                                                      71,276
   Intermediate Core Fund                                             21,034
   Total                            AAA/Aaa                          134,883
   NATIXIS Financial Products -
   CDC 1149-02 Contract
   Target 2 Fund                                                      71,397
   Target 5 Fund                                                      21,069
   Intermediate Core Fund                                             42,645
   Total                            AAA/Aaa                          135,111
   Monumental MDA00819TR Contract
   Target 2 Fund                                                      71,459
   Target 5 Fund                                                      21,088
   Intermediate Core Fund                                             42,683
   Total                            AAA/Aaa                          135,230
   State Street Bank 103094
   Contract
   Target 2 Fund                                                      71,405
   Target 5 Fund                                                      21,072
   Intermediate Core Fund                                             42,651
   Total                            AAA/Aaa                          135,128
   JP Morgan - APGE01 Contract
   Target 2 Fund                                                      71,459
   Target 5 Fund                                                      21,088
   Intermediate Core Fund                                             42,683
   Total                            AAA/Aaa                          135,230
   Short-term investments           AAA/Aaa                           84,450
   TOTAL                                                   $         894,932

   RSP                                                     $         373,070
   Union RSP                                                         521,862
   Total all plans                                         $         894,932
Wrap Contracts         Adjustment to
at Fair Value          Contract Value




$                553   $         11,537




                 191             11,535




                 -               11,555




                 320             11,565




                 119             11,557




              383                11,565
              -                     -
$           1,566      $         69,314

$             653      $         28,895
              913                40,419
$           1,566      $         69,314
Created by EDGAR Online, Inc.

PG&E CORP
TABLE10
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009


                                                           Investments at
   (in thousands)                   Major Credit Ratings   Fair Value

   Bank of America - 04-022
   Contract
   Target 2 Fund                                           $          70,807
   Target 5 Fund                                                      21,925
   Intermediate Core Fund                                             42,320
   Total                            AAA/Aaa                          135,052
   ING Life & Annuity 60110
   Contract
   Target 2 Fund                                                      70,806
   Target 5 Fund                                                      21,925
   Intermediate Core Fund                                             42,320
   Total                            AAA/Aaa                          135,051
   NATIXIS Financial Products -
   CDC 1149-02 Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   Monumental MDA00819TR Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   State Street Bank 103094
   Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   UBS AG 5183 Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   Short-term investments           AAA/Aaa                           35,281
   TOTAL                                                   $         845,704

   RSP                                                     $         387,014
   Union RSP                                                         458,690
   Total all plans                                         $         845,704
Wrap
Contracts at   Adjustment to
Fair Value     Contract Value




$          -   $            512




           -                513




           -                512




           -                512




           -                512




           -                512
           -                -
$          -   $          3,073

$          -   $          1,406
           -              1,667
$          -   $          3,073
Created by EDGAR Online, Inc.

PG&E CORP
TABLE11
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   (in thousands)                            Year ended December 31,
                                                    2008               2007

   PG&E Corporation Stock Fund           $      400,320   $       445,431
   Fidelity managed funds                       212,148           415,128
   Total party-in-interest investments   $      612,468   $       860,559
Created by EDGAR Online, Inc.

PG&E CORP
TABLE12
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   9. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500



   (in thousands)

   Statements of Net Assets Available for Benefits:
   Net assets available for benefits per the financial statements
   Adjustment from contact value to fair value for fully
   benefit-responsive investment contracts
   Net assets available for benefits per the Form 5500

   Statements of Changes in Net Assets Available for Benefits:
   (Decrease) increase in net assets per the financial statements
   Adjustment from contact value to fair value for fully
   benefit-responsive investment contracts
   (Decrease) increase in net assets per the Form 5500
    Year ended December 31,
           2008                 2007

$    1,712,996   $       2,374,917

       (28,895)             (1,406)
$    1,684,101 $         2,373,511


$     (661,921) $              8,190

       (27,489)                5,053
$     (689,410) $             13,243
Created by EDGAR Online, Inc.

PG&E CORP
TABLE13
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                   FORM 5500, SCHEDULE H, PART IV, LINE 4i -
             SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
   AS OF DECEMBER 31, 2008




                                Identity of Issue, Borrower, Lessor, or
   (in thousands)               Similar Party


   *                            Participant loans
Description
of
Investment,
Including
Maturity
Date, Rate of
Interest,
Collateral,
Par, or
Maturity
Value             Cost           Current Value

5.0% -
         10.50%          $   -   $        19,263
Created by EDGAR Online, Inc.

PG&E CORP
TABLE14
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   PG&E CORPORATION
   RETIREMENT SAVINGS PLAN FOR UNION-REPRESENTED EMPLOYEES

   STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
   (in thousands)



   ASSETS
   Plan interest in Master Trust investments, at fair value
   Participant loans (5,398 and 5,059 loans outstanding in 2008
   and 2007, respectively, and interest rates ranging from 5.0%
   to 10.5% in both years)
   Total investments, at fair value
   LIABILITIES
   Administrative expenses payable
   Net assets reflecting all investments at fair value
   Adjustment from fair value to contract value for
   fully benefit-responsive investment contracts (Note 2)
   NET ASSETS AVAILABLE FOR BENEFITS
     As of December 31,
         2008                  2007

$   2,035,416   $         2,454,592


       45,942                40,171
    2,081,358             2,494,763

           38                   -
    2,081,320             2,494,763

       40,419                 1,667
$   2,121,739   $         2,496,430
Created by EDGAR Online, Inc.

PG&E CORP
TABLE15
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   PG&E CORPORATION
   RETIREMENT SAVINGS PLAN FOR UNION-REPRESENTED EMPLOYEES

   STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
   (in thousands)



   ADDITIONS TO NET ASSETS ATTRIBUTABLE TO:
   Investment (Loss) Income:
   Plan interest in Master Trust investment (loss) income
   Contributions:
   Employer
   Participant
   Total contributions
   Total additions, net
   DEDUCTIONS FROM NET ASSETS ATTRIBUTABLE TO:
   Benefit distributions to participants
   Administrative expenses
   Total deductions
   NET DECREASE BEFORE ASSET TRANSFERS
   Asset transfers, net
   NET (DECREASE) INCREASE
   NET ASSETS AVAILABLE FOR BENEFITS:
   Beginning of year
   End of year
    Year ended December 31,
           2008                 2007


$     (457,379) $             66,998

        23,508             21,926
       105,972             98,940
       129,480            120,866
      (327,899)           187,864

       176,260            214,657
           408                313
       176,668            214,970
      (504,567)           (27,106)
       129,876             29,276
      (374,691)             2,170

     2,496,430           2,494,260
$    2,121,739    $      2,496,430
Created by EDGAR Online, Inc.

PG&E CORP
TABLE16
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                 Length of Service               Matching Employer Contribution
             Less than 1 year of service    No       employer match

           1 year or more but less than 3         50 percent of the participant's
                  years of service                   pre-tax and/ or after-tax
                                                 contributions up to 3 percent of
                                                 the eligible employee's covered
                                                           compensation

           3 years of service or more             50 percent of the participant's
                                                     pre-tax and/ or after-tax
                                                 contributions up to 6 percent of
                                                 the eligible employee's covered
                                                           compensation
Created by EDGAR Online, Inc.

PG&E CORP
TABLE17
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   (in thousands)                                                As of December 31,
                                                                     2008
   Mutual funds                                             $     642,437
   Employer stock fund                                          1,093,739
   Common/collective trusts                                     1,067,592
   Fully benefit-responsive investment contracts                  896,498
   Investments at fair value                                    3,700,266
   Adjustment from fair value to contract value for fully
   benefit-responsive investment contracts                         69,314
   Total Master Trust investments                           $   3,769,580
   Total Master Trust investments by plan:
   Union RSP                                                $   2,075,835
   RSP                                                          1,693,745
   Total all plans                                          $   3,769,580
As of December 31,
                          2007
         $           1,076,203
                     1,203,651
                     1,683,709
                       845,704
                     4,809,267

                         3,073
         $           4,812,340

         $           2,456,259
                     2,356,081
         $           4,812,340
Created by EDGAR Online, Inc.

PG&E CORP
TABLE18
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   (in thousands)                                                     Year ended December 31,
                                                                              2008
   Net (depreciation) appreciation in fair value of
   investments:
   Mutual funds                                                   $       (427,289)
   Employer stock fund                                                    (111,600)
   Common/collective trusts                                               (514,501)
   Net (depreciation) appreciation in fair value of investments         (1,053,390)
   Net appreciation in contract value of fully
   benefit-responsive investment contracts                                 40,104
   Dividends                                                               66,498
   Other investment income                                                  4,642
   Total Master Trust investment (loss) income                    $      (942,146)
   Total Master Trust investment (loss) income by plan:
   Union RSP                                                      $      (457,379)
   RSP                                                                   (484,767)
   Total all plans                                                $      (942,146)
ear ended December 31,
                         2007


            $          37,784
                     (104,723)
                      101,981
                       35,042

                      26,030
                     116,452
                       4,047
            $        181,571

            $         66,998
                     114,573
            $        181,571
Created by EDGAR Online, Inc.

PG&E CORP
TABLE19
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                            Year ended December 31,
   (in thousands)                                  2008             2007
   PG&E Corporation Stock Fund          $      693,419 $         758,220
   RSP Large Company Stock Index Fund          253,901           419,281
   RSP Stable Value Fund                       563,194           460,357
Created by EDGAR Online, Inc.

PG&E CORP
TABLE20
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   (in thousands)                                  Level 1             Level 2
   Master Trust Investments:
   Mutual funds                                    $         642,437             $   -
   Employer stock fund                                           -                   -
   Common/collective trusts                                      -                   -
   Fully benefit-responsive investment contracts                 -                   -
   Total Master Trust Investments, at Fair Value   $         642,437             $   -
Level 3               Total

$               -     $         642,437
          1,093,739           1,093,739
          1,067,592           1,067,592
            896,498             896,498
$         3,057,829   $       3,700,266
Created by EDGAR Online, Inc.

PG&E CORP
TABLE21
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   Level 3 Rollfoward

               The following tables are reconciliations of changes in fair value of financial
            instruments for the year ended December 31, 2008 that have been classified as
   Level 3 in the fair value hierarchy:

                                                                             Common/
                                                       Employer              Collective
   (in thousands)                                      Stock Fund            Trusts
   Balance at January 1, 2008                           $         1,203,651 $           1,683,709
   Realized gains (losses)                                           25,115                38,893
   Unrealized gains (losses)                                       (136,715)             (553,394)
   Adjustment from fair value to contract
   value for fully benefit-responsive
   investment contracts                                                  -                      -
   Purchases and settlements                                           1,688               (101,616)
   Transfers in/out of Level 3                                           -                      -
   Balance at December 31, 2008                         $          1,093,739    $         1,067,592



   (in thousands)                                      Participant Loans
   Balance at January 1, 2008                                                   $               40,171
   Purchases and settlements                                                                     5,771
   Balance at December 31, 2008                                                 $               45,942
Fully
Benefit-Responsive
Investment Contracts      Total
 $                845,704 $       3,733,064
                   17,229            81,237
                   22,875          (667,234)


                 (66,241)           (66,241)
                  76,931            (22,997)
                     -                  -
$                896,498 $        3,057,829
Created by EDGAR Online, Inc.

PG&E CORP
TABLE22
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                                         Year ended
                                                         December 31,
                                                                    2008    2007
   Based on actual earnings (1)                                    5.93%   5.50%
   Based on interest rate credited to participants (2)             3.87%   4.73%
Created by EDGAR Online, Inc.

PG&E CORP
TABLE23
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                                                           Investments at
   (in thousands)                   Major Credit Ratings   Fair Value

   Bank of America - 04-022
   Contract
   Target 2 Fund                                           $          71,285
   Target 5 Fund                                                      21,036
   Intermediate Core Fund                                             42,579
   Total                            AAA/Aaa                          134,900
   ING Life & Annuity 60110
   Contract
   Target 2 Fund                                                      42,573
   Target 5 Fund                                                      71,276
   Intermediate Core Fund                                             21,034
   Total                            AAA/Aaa                          134,883
   NATIXIS Financial Products -
   CDC 1149-02 Contract
   Target 2 Fund                                                      71,397
   Target 5 Fund                                                      21,069
   Intermediate Core Fund                                             42,645
   Total                            AAA/Aaa                          135,111
   Monumental MDA00819TR Contract
   Target 2 Fund                                                      71,459
   Target 5 Fund                                                      21,088
   Intermediate Core Fund                                             42,683
   Total                            AAA/Aaa                          135,230
   State Street Bank 103094
   Contract
   Target 2 Fund                                                      71,405
   Target 5 Fund                                                      21,072
   Intermediate Core Fund                                             42,651
   Total                            AAA/Aaa                          135,128
   JP Morgan - APGE01 Contract
   Target 2 Fund                                                      71,459
   Target 5 Fund                                                      21,088
   Intermediate Core Fund                                             42,683
   Total                            AAA/Aaa                          135,230
   Short-term investments           AAA/Aaa                           84,450
   TOTAL                                                   $         894,932

   Union RSP                                               $         521,862
   RSP                                                               373,070
   Total all plans                                         $         894,932
Wrap Contracts         Adjustment to
at Fair Value          Contract Value




$                553   $         11,537




                 191             11,535




                 -               11,555




                 320             11,565




                 119             11,557




              383                11,565
              -                     -
$           1,566      $         69,314

$             913      $         40,419
              653                28,895
$           1,566      $         69,314
Created by EDGAR Online, Inc.

PG&E CORP
TABLE24
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009


                                                           Investments at
   (in thousands)                   Major Credit Ratings   Fair Value

   Bank of America - 04-022
   Contract
   Target 2 Fund                                           $          70,807
   Target 5 Fund                                                      21,925
   Intermediate Core Fund                                             42,320
   Total                            AAA/Aaa                          135,052
   ING Life & Annuity 60110
   Contract
   Target 2 Fund                                                      70,806
   Target 5 Fund                                                      21,925
   Intermediate Core Fund                                             42,320
   Total                            AAA/Aaa                          135,051
   NATIXIS Financial Products -
   CDC 1149-02 Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   Monumental MDA00819TR Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   State Street Bank 103094
   Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   UBS AG 5183 Contract
   Target 2 Fund                                                      70,821
   Target 5 Fund                                                      21,930
   Intermediate Core Fund                                             42,329
   Total                            AAA/Aaa                          135,080
   Short-term investments           AAA/Aaa                           35,281
   TOTAL                                                   $         845,704

   Union RSP                                               $         458,690
   RSP                                                               387,014
   Total all plans                                         $         845,704
Wrap
Contracts at   Adjustment to
Fair Value     Contract Value




$          -   $            512




           -                513




           -                512




           -                512




           -                512




           -                512
           -                -
$          -   $          3,073

$          -   $          1,667
           -              1,406
$          -   $          3,073
Created by EDGAR Online, Inc.

PG&E CORP
TABLE25
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   6.                                            RELATED-PARTY TRANSACTIONS

                      Certain Union RSP investments, including investments held in the Master Trust,
                    are shares of funds managed by the Trustee. The Union RSP also invests in PG&E
                         Corporation common stock. These transactions qualify as party-in-interest
   transactions under ERISA.

                        The party-in-interest transactions for the Union RSP comprised the following
   investments:

   (in thousands)                                                      Year ended December 31,
                                                                                         2008

   PG&E Corporation Stock Fund                   $                                       693,419
   Fidelity managed funds                                                                175,465
   Total party-in-interest investments           $                                       868,884
he Master Trust,
o invests in PG&E
rty-in-interest


d the following


ecember 31,
                           2007

                  $     758,220
                        288,168
                  $   1,046,388
Created by EDGAR Online, Inc.

PG&E CORP
TABLE26
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

   9. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500



   (in thousands)

   Statements of Net Assets Available for Benefits:
   Net assets available for benefits per the financial statements
   Adjustment from contact value to fair value for fully
   benefit-responsive investment contracts
   Net assets available for benefits per the Form 5500
   Statements of Changes in Net Assets Available for Benefits:
   (Decrease) increase in net assets per the financial statements
   Adjustment from contact value to fair value for fully
   benefit-responsive investment contracts
   (Decrease) increase in net assets per the Form 5500
    Year ended December 31,
           2008                2007

$    2,121,739   $       2,496,430

       (40,419)             (1,667)
$    2,081,320 $         2,494,763

$     (374,691) $             2,170

       (38,752)               6,495
$     (413,443) $             8,665
Created by EDGAR Online, Inc.

PG&E CORP
TABLE27
Form Type: 11-K
Period End: Dec 31, 2008
Date Filed: Jun 25, 2009

                   FORM 5500, SCHEDULE H, PART IV, LINE 4i -
             SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
   AS OF DECEMBER 31, 2008




                                Identity of Issue, Borrower, Lessor, or
   (in thousands)               Similar Party


   *                            Participant loans
Description
of
Investment,
Including
Maturity
Date, Rate of
Interest,
Collateral,
Par, or
Maturity
Value             Cost           Current Value

5.0% -
         10.50%          $   -   $        45,942

								
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