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Form 11-K AT&T INC. For: Dec 31

June 22, 2026 5:19 PM
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MELLON CASH RESERVEt:EBP431301883004Member2025-12-310000732717AT&T Inc.t:EBP431301883004Member2025-12-310000732717DREYFUS GOVERNMENT CASH MANAGEMENT FUNDt:EBP431301883004Member2025-12-310000732717ASSP RET FUNDt:EBP431301883004Member2025-12-310000732717ASSP FUND- 2010t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2015t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2020t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2025t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2030t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2035t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2040t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2045t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2050t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2055t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2060t:EBP431301883004Member2025-12-310000732717ASSP FUND- 2065t:EBP431301883004Member2025-12-310000732717ATT SBC 2070 RET FDt:EBP431301883004Member2025-12-310000732717t:EBP431301883004Memberus-gaap:EquityFundsMember2025-12-310000732717BLACKROCK EQUITY INDEX FUND Ft:EBP431301883004Member2025-12-310000732717BLACKROCK EXTENDED EQUITY MARKET FUND Ft:EBP431301883004Member2025-12-310000732717BLACKROCK GOVERNMENT/CREDIT BOND INDEX FUND Ft:EBP431301883004Member2025-12-310000732717BLACKROCK EAFE EQUITY INDEX FUND Ft:EBP431301883004Member2025-12-310000732717BLACKROCK US EQUITY MARKET FUND Ft:EBP431301883004Member2025-12-310000732717BANK OF MONTREALt:EBP431301883004Member2025-01-012025-12-310000732717BANK OF MONTREALt:EBP431301883004Member2025-12-310000732717ROYAL BANK OF CANADAt:EBP431301883004Member2025-01-012025-12-310000732717ROYAL BANK OF CANADAt:EBP431301883004Member2025-12-310000732717TORONTO-DOMINION BANK/THE (1)t:EBP431301883004Member2025-01-012025-12-310000732717TORONTO-DOMINION BANK/THE (1)t:EBP431301883004Member2025-12-310000732717TORONTO-DOMINION BANK/THE (2)t:EBP431301883004Member2025-01-012025-12-310000732717TORONTO-DOMINION BANK/THE (2)t:EBP431301883004Member2025-12-310000732717CANADIAN IMPERIAL BANK OF COMMERCEt:EBP431301883004Member2025-01-012025-12-310000732717CANADIAN IMPERIAL BANK OF COMMERCEt:EBP431301883004Member2025-12-310000732717AB BSL CLO 6 LTD 6A A 144At:EBP431301883004Member2025-01-012025-12-310000732717AB BSL CLO 6 LTD 6A A 144At:EBP431301883004Member2025-12-310000732717ATLAS SENIOR LOAN 18A A1R 144At:EBP431301883004Member2025-01-012025-12-310000732717ATLAS SENIOR LOAN 18A A1R 144At:EBP431301883004Member2025-12-310000732717BAIN CAPITAL CRED 3A A1RR 144A (1)t:EBP431301883004Member2025-01-012025-12-310000732717BAIN CAPITAL CRED 3A A1RR 144A (1)t:EBP431301883004Member2025-12-310000732717BAIN CAPITAL CREDIT 3A A1 144At:EBP431301883004Member2025-01-012025-12-310000732717BAIN CAPITAL CREDIT 3A A1 144At:EBP431301883004Member2025-12-310000732717CIFC FUNDING 2018- 3A A1R 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SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM 11-K
 
(Mark One)
    ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2025
OR
    TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from                     to                     
Commission File Number: 1-8610
 
A.    Full title of the plan and the address of the plan, if different from that of the issuer named below:
AT&T SAVINGS AND SECURITY PLAN
B.    Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
AT&T INC.
208 S. Akard, Dallas, Texas 75202
 
 




 
AT&T Savings and Security Plan
Financial Statements, Supplemental Schedule and Exhibit
Table of Contents
 
 Page
     Report of Independent Registered Public Accounting Firm     
1
Financial Statements: 
Statements of Net Assets Available for Benefits as of December 31, 2025 and 2024     
2
Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2025
3
Notes to Financial Statements     
4
Supplemental Schedule: 
Schedule H, Part IV, Line 4(i) – Schedule of Assets (Held at End of Year) as of December 31, 2025     
10
 



 
Report of Independent Registered Public Accounting Firm



Plan Administrator and Plan Participants
AT&T Savings and Security Plan
Dallas, Texas


Opinion on the Financial Statements

We have audited the accompanying statements of net assets available for benefits of AT&T Savings and Security Plan (the “Plan”) as of December 31, 2025 and 2024, the related statement of changes in net assets available for benefits for the year ended December 31, 2025, and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of AT&T Savings and Security Plan as of December 31, 2025 and 2024, and the changes in net assets available for benefits for the year ended December 31, 2025, in conformity with accounting principles generally accepted in the United States of America.

Basis of Opinion

These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits, we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion.

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

Report on Supplemental Information

The supplemental information in the accompanying schedule of assets (held at end of year) as of December 31, 2025, has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental schedule is the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental schedule reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedule. In forming our opinion on the supplemental schedule, we evaluated whether the supplemental schedule, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the schedule of assets (held at end of year) is fairly stated, in all material respects, in relation to the basic financial statements taken as a whole.




/s/ Forvis Mazars, LLP

We have served as the Plan’s auditor since 2018.

San Antonio, Texas
June 22, 2026
1

AT&T Savings and Security Plan
Statements of Net Assets Available For Benefits
As of December 31, 2025 and 2024
(Dollars in Thousands)
 
December 31,
 
2025
2024
ASSETS  
Investments at fair value (See Notes 3 and 4)$2,121,650 $1,952,204 
Fully benefit-responsive investment contracts at contract value (See Note 4)236,461 256,556 
Total Investments2,358,111 2,208,760 
Notes receivable from participants52,283 56,293 
Dividends and interest receivable396 554 
Total Receivables52,679 56,847 
Total Assets2,410,790 2,265,607 
LIABILITIES 
Administrative expenses payable1,022 1,045 
Total Liabilities1,022 1,045 
 
Net Assets Available for Benefits$2,409,768 $2,264,562 
 
 
 
See Notes to Financial Statements.  

2

AT&T Savings and Security Plan
Statement of Changes in Net Assets Available For Benefits
For the Year Ended December 31, 2025
(Dollars in Thousands)
 
 
Net Assets Available for Benefits, December 31, 2024
$2,264,562 
Changes in Net Assets:

Contributions:

Participant contributions47,035 
Employer contributions20,053 
Rollover contributions21,219 
88,307 
Investment Income:

Net appreciation in fair value of investments298,589 
Dividends16,018 
Interest6,280 
320,887 
Interest income on notes receivable from participants4,674 
Distributions(267,024)
Administrative expenses(1,638)
 

Net Increase$145,206 
Net Assets Available for Benefits, December 31, 2025
$2,409,768 
 
 

See Notes to Financial Statements.
 


3

AT&T Savings and Security Plan
Notes to Financial Statements
(Dollars in Thousands)
 NOTE 1. PLAN DESCRIPTION

The AT&T Savings and Security Plan (Plan) is a defined contribution plan originally established by SBC Communications Inc. (SBC) to provide a convenient way for eligible employees to save on a regular and long-term basis.

The majority of eligible employees are represented by the Communications Workers of America who are employed by participating companies of AT&T. The following description of the Plan provides only general information. The Plan has detailed provisions covering participant eligibility, participant allotments from pay, participant withdrawals, participant loans, employer contributions and related vesting of contributions and Plan expenses. The Plan text and prospectus include complete descriptions of these and other Plan provisions. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (ERISA).

The Bank of New York Mellon Corporation (BNY Mellon) serves as the trustee for the Plan. Fidelity Investments Institutional Operations Company, Inc. (Fidelity) serves as recordkeeper for the Plan.

During 2025 and 2024, participants could invest their contributions in one or more of the available funds in five dollar increments:

•    AT&T Shares Fund•    Global Equity Fund
•    Bond Fund•    Mid and Small Cap Stock Fund
•    Large Cap Stock Fund•    International Stock Fund
•    Interest Income Fund
•    AT&T Age-Based Asset Allocation Funds (based on retirement date)
Participants contribute to the Plan through payroll allotments. Participants may also contribute amounts representing distributions from other qualified defined benefit and defined contribution plans (rollovers). The Company contributes to the Plan by matching the participants’ contributions based on the provisions of the Plan. Company matching contributions are made solely in the form of shares of AT&T’s common stock held in an Employee Stock Ownership Plan (ESOP), which is part of the AT&T Shares Fund, within this Plan. Matching contributions made to the Plan can be immediately diversified into any of the fund options above.

Dividends on shares in the AT&T Shares Fund can either be reinvested in the AT&T Shares Fund on a quarterly basis, or paid into a short-term interest bearing fund for distribution before the end of the year. Interest earned on dividends held in the short-term interest-bearing fund are used to purchase additional units of the AT&T Shares Fund in the participant’s account. During 2025, Plan participants elected to receive $3,000 in dividend distributions. This amount is included in distributions on the Plan’s Statement of Changes in Net Assets Available for Benefits.

Each participant is entitled to exercise voting rights attributable to the AT&T shares allocated to their account and is notified by the Company prior to the time that such rights may be exercised. Subject to the fiduciary provisions of ERISA, the trustee will not vote any allocated shares for which instructions have not been given by a participant. The trustee votes any unallocated shares in the same proportion as it votes those shares that were allocated to the extent the proportionate vote is consistent with the trustee’s fiduciary obligations under ERISA. Participants have the same voting rights in the event of a tender or exchange offer.

Although it has not expressed any intent to do so, AT&T has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA and collective bargaining obligations. In the event that the Plan is terminated, subject to the conditions set forth by ERISA, the account balances of all participants shall be 100% vested.

Administrative Expenses The reasonable expenses of plan administration may be charged to the Plan in accordance with procedures adopted by the Plan administrator (as defined by the Plan). Brokerage fees, transfer taxes and other expenses incident to the purchase or sale of securities by the Trustee shall be deemed to be part of the cost of such securities, or deducted in computing the proceeds, as the case may be. Taxes, if any, on any assets held or income received by the Trustee will be charged appropriately against the accounts of Plan participants as determined by the Plan administrator. To the extent that expenses incident to the administration of the Plan are paid from the Plan, the Plan administrator will determine which expenses are to be charged to and paid from participant’s individual accounts, which expenses are to be charged to and paid from the accounts of all participants (and how they are to be allocated among such accounts), and which expenses are to be charged to and paid from the accounts of one or more identified groups of participants
4

AT&T Savings and Security Plan
Notes to Financial Statements (Continued)
(Dollars in Thousands)
(and how they are to be allocated among such accounts). All expenses of administering the Plan that are not charged to the Plan will be borne by the Company.

NOTE 2. ACCOUNTING POLICIES

The accompanying financial statements were prepared in conformity with U.S. generally accepted accounting principles (GAAP), which require management to make estimates that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates. Distributions are recorded when paid.

Investment Valuation and Income Recognition Investments are stated at fair value, except those investments that are fully benefit-responsive investments, which are stated at contract value. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. See Note 3 for discussion of fair value measurements. Investments in securities traded on a national securities exchange are valued at the last reported sales price on the last business day of the year. If no sale was reported on that date, they are valued at the last reported bid price. Shares of registered investment companies (i.e., mutual funds) are valued based on quoted market prices, which represent the net asset value of shares held at year-end. Common/collective trust funds are valued at quoted redemption values that represent the net asset values of units held at year-end.

Investment contracts held by a defined contribution plan are required to be reported at contract value. Contract value is the relevant measurement attribute for that portion of the net assets available for benefits of a defined contribution plan attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan. The Plan invests in fully benefit-responsive synthetic guaranteed investment contracts (Synthetic GICs). The underlying investments of the Synthetic GICs are comprised of corporate bonds and notes, registered investment companies and government securities. The contract value of the fully benefit-responsive investment contracts represents contributions plus earnings, less participant withdrawals and administrative expenses.

Purchases and sales of securities are reflected as of the trade date. Dividend income is recognized on the ex-dividend date. Interest earned on investments is recognized on the accrual basis. Net appreciation (depreciation) includes the Plan’s gains and losses on investments bought and sold as well as held during the year. Transfers in and out of Level 1 (quoted market prices), Level 2 (other significant observable inputs) and Level 3 (significant unobservable inputs) are recognized on the period ending date.

Notes Receivable from Participants Notes receivable from participants represent participant loans that are recorded at their unpaid principal balance plus any accrued, but unpaid interest. Interest income on notes receivable from participants is recorded when it is earned. Related fees are recorded as administrative expenses and are expensed when they are incurred. No allowance for credit losses has been recorded as of December 31, 2025 or 2024. If a participant ceases to make loan repayments and the Plan administrator deems the participant loan to be a distribution, the participant loan balance is reduced and a distribution is recorded.

NOTE 3. FAIR VALUE MEASUREMENTS

Accounting Standards Codification 820, Fair Value Measurement, establishes a framework for measuring fair value. That framework provides a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The three levels of the fair value hierarchy are described below:
Level 1    Inputs to the valuation methodology are unadjusted quoted prices for identical assets or liabilities in active markets that the Plan has the ability to access.
Level 2    Inputs to the valuation methodology include:
•    Quoted prices for similar assets and liabilities in active markets;
•    Quoted prices for identical or similar assets or liabilities in inactive markets;
•    Inputs other than quoted market prices that are observable for the asset or liability;
•    Inputs that are derived principally from or corroborated by observable market data by correlation or other means.
5

AT&T Savings and Security Plan
Notes to Financial Statements (Continued)
(Dollars in Thousands)
If the asset or liability has a specified (contractual) term, the Level 2 input must be observable for substantially the full term of the asset or liability.
Level 3    Inputs to the valuation methodology are unobservable and significant to the fair value measurement.
The asset’s or liability’s fair value measurement level within the fair value hierarchy is based on the lowest level of any input that is significant to the fair value measurement. Valuation techniques used need to maximize the use of observable inputs and minimize the use of unobservable inputs.

The valuation methodologies described in Note 2 may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while Plan management believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in a different fair value measurement at the reporting date. There have been no changes in the methodologies used at December 31, 2025 and 2024.

The following table sets forth by level, within the fair value hierarchy, the Plan’s investments at fair value as of December 31, 2025:
  
 
Plan Assets at Fair Value as of December 31, 2025
 
Level 1
Level 2Level 3
Total
Interest bearing cash$12 $ $ $12 
AT&T common stock335,396   335,396 
Mutual funds10,367   10,367 
Total assets in fair value hierarchy$345,775 $ $ $345,775 
 
 
 
 
Common/collective trusts measured at net asset value:
 
 
 
Large cap U.S. stock index fund1    
 
 
722,014 
Mid and small cap U.S. stock index fund2
 
 
317,674 
Bond index fund3    
 
 
192,179 
International stock index fund4    
 
 
230,209 
Global equity fund5    
 
 
233,944 
Asset allocation funds6
 
 
 
79,855 
Total investments at fair value
 
 
$2,121,650 
1    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the common stocks included in the Standard and Poor’s Composite Stock Price Index of 500 stocks (the “S&P 500 Index”). There are currently no redemption restrictions on this investment.
2    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the common stocks included in the Dow Jones U.S. Completion Total Stock Market Index. There are currently no redemption restrictions on this investment.
3    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the fixed income securities included in the Barclays U.S. Government/Credit Bond Index. There are currently no redemption restrictions on this investment.
4    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the common stocks included in the Morgan Stanley Country Index – Europe, Australasia, Far East (MSCI EAFE) Index. There are currently no redemption restrictions on this investment.
5    This category includes a common/collective trust fund with an objective of providing investment returns that approximate an asset allocation of 75% to the Dow Jones U.S. Total Stock Market Index and 25% to the MSCI EAFE Index. There are currently no redemption restrictions on these investments.
6    This category includes 14 common/collective trust funds also known as Age-Based Asset Allocation Funds which are well diversified portfolios that adjust the mix of the underlying investments over time to correspond with various retirement years. There are currently no redemption restrictions on these investments.
6

AT&T Savings and Security Plan
Notes to Financial Statements (Continued)
(Dollars in Thousands)

The following table sets forth by level, within the fair value hierarchy, the Plan’s investments at fair value as of December 31, 2024:
 
 
Plan Assets at Fair Value as of December 31, 2024
 
Level 1
Level 2
Level 3
Total
AT&T common stock$325,051 $ $ $325,051 
Mutual funds8,873   8,873 
Total assets in fair value hierarchy$333,924 $ $ $333,924 
 
 
 
 
 
Common/collective trusts measured at net asset value:
 
 
 
 
Large cap U.S. stock index fund1    
 
 
 
670,371 
Mid and small cap U.S. stock index fund2
 
 
 
317,884 
Bond index fund3    
 
 
 
178,264 
International stock index fund4    
 
 
 
190,031 
Global equity fund5    

 
 
204,687 
Asset allocation funds6
57,043 
Total investments at fair value
 
 
 
$1,952,204 
 
 
 
 
 
1    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the common stocks included in the Standard and Poor’s Composite Stock Price Index of 500 stocks (the “S&P 500 Index”). There are currently no redemption restrictions on this investment.
2    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the common stocks included in the Dow Jones U.S. Completion Total Stock Market Index. There are currently no redemption restrictions on this investment.
3    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the fixed income securities included in the Barclays U.S. Government/Credit Bond Index. There are currently no redemption restrictions on this investment.
4    This category includes a common/collective trust fund with an objective of providing investment results that approximate the overall performance of the common stocks included in the Morgan Stanley Country Index – Europe, Australasia, Far East (MSCI EAFE) Index. There are currently no redemption restrictions on this investment.
5    This fund consists of two common/collective trust funds with an objective of providing investment returns that approximate an asset allocation of 75% to the Dow Jones U.S. Total Stock Market Index and 25% to the MSCI EAFE Index. There are currently no redemption restrictions on these investments.
6    This category includes 14 common/collective trust funds also known as Age-Based Asset Allocation Funds which are well diversified portfolios that adjust the mix of the underlying investments over time to correspond with various retirement years. There are currently no redemption restrictions on these investments.

NOTE 4. INVESTMENTS

Fully Benefit-Responsive Investment Contracts

The Interest Income Fund consists of fully benefit-responsive investment contracts with various financial institutions and insurance companies that promise to repay principal plus accrued income at contract maturity, subject to the creditworthiness of the issuer. Interest crediting rates are generally established when the contract is purchased and are periodically reset. The Interest Income Fund invests in Synthetic GICs, also referred to as wrapper contracts. The assets supporting the Synthetic GICs are owned by the Plan and generally consist of high quality fixed income securities.

A bank or insurance company issues a wrapper contract that provides preservation of principal, maintains a stable interest rate and provides daily liquidity at contract value for participant directed transactions, in accordance with the provisions of the Plan. Wrapper contracts amortize the realized and unrealized gains and losses on the underlying fixed income investments through adjustments to the
7

AT&T Savings and Security Plan
Notes to Financial Statements (Continued)
(Dollars in Thousands)
future interest crediting rate. The issuer of the wrapper contract provides assurance that the adjustments to the interest crediting rate do not result in a future interest crediting rate that is less than zero, which would result in a loss of principal or accrued interest.

In certain circumstances, the amount withdrawn from the wrapper contract could be payable at fair value rather than at contract value. These events include termination of the Plan, a material adverse change to the provisions of the Plan, if AT&T elects to withdraw from a wrapper contract in order to switch to a different investment provider or, in the event of a spin-off or sale of a division, if the terms of the successor plan do not meet the contract issuers’ underwriting criteria for issuance of a clone wrapper contract. Events that would permit a wrapper contract issuer to terminate a wrapper contract upon short notice include the Plan’s loss of its qualified status, un-cured material breaches of responsibilities or material and adverse changes to the provisions of the Plan. The Company does not believe any of these events are probable of occurring in the foreseeable future.

Interest Bearing Cash

At December 31, 2025 and 2024, the Plan held approximately $2,699 and $2,529, respectively, of unallocated interest bearing cash related to contributions, uncashed checks and fees pending allocation to participant accounts or clearance through the plan funds.

Investment Risk

Investments held by the Plan are exposed to various risks such as interest rate, market and credit risks. Due to the level of risk associated with certain investments, it is at least reasonably possible that changes in the values of investments could occur in the near term and that such changes could materially affect participants’ account balances and the amounts reported in the statements of net assets available for benefits. Plan participants’ accounts that are invested in the Company stock fund option are exposed to market risk in the event of a significant decline in the value of AT&T stock.

Additionally, the Plan invests in securities with contractual cash flows, such as asset-backed securities, collateralized mortgage obligations and commercial mortgage-backed securities. The value, liquidity and related income of these securities are sensitive to changes in economic conditions, including real estate values, delinquencies or defaults, or both, and may be adversely affected by shifts in the market’s perception of the issuers and changes in interest rates.

NOTE 5. RELATED PARTY AND PARTIES-IN-INTEREST TRANSACTIONS

Plan assets are invested in AT&T stock directly. Because the Company is the plan sponsor, transactions involving the Company’s stock qualify as related party transactions. In addition, certain investments held by the Plan are managed by BNY Mellon and Fidelity as trustee and record keeper, respectively, as defined by various agreements. Therefore, these transactions and fees paid to these entities qualify as parties-in-interest transactions. All of these transactions are exempt from the prohibited transaction rules.

The Plan may, at the discretion of the Plan’s participants or via the Company match, invest its assets in the Company’s common stock. The Plan held 13,502,268 and 14,275,427 shares of the Company’s common stock in the AT&T Shares Fund as of December 31, 2025 and 2024, respectively. Dividends earned by the Plan’s AT&T Shares Fund on the Company’s common stock were $12,578 for the year ended December 31, 2025.

NOTE 6. TAX STATUS

The Plan has received a determination letter from the Internal Revenue Service (IRS) dated June 23, 2015, stating that the Plan is qualified under Section 401(a) of the Internal Revenue Code (IRC) and, therefore, the related trust is exempt from taxation. Once qualified, the Plan is required to operate in conformity with the IRC to maintain its qualification. Subsequent to this determination by the IRS, the Plan was amended. The Plan administrator has indicated that it will take the necessary steps, if any, to bring the Plan’s operations into compliance with the Code.

Accounting principles generally accepted in the United States require Plan management to evaluate uncertain tax positions taken by the Plan. The financial statement effects of a tax position are recognized when the position is more likely than not, based on the technical merits, to be sustained upon examination by the IRS. The Plan administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2025, there were no uncertain positions taken or expected to be taken. The Plan has
8

AT&T Savings and Security Plan
Notes to Financial Statements (Continued)
(Dollars in Thousands)
recognized no interest or penalties related to uncertain tax positions. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress.

NOTE 7. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500

The following is a reconciliation of Net Assets Available for Benefits per the financial statements to the Form 5500 as of December 31:  
 
2025
2024
Net Assets Available for Benefits per the financial statements$2,409,768 $2,264,562 
Distributions payable to participants(1,125)(352)
 
 
 
Net Assets Available for Benefits per the Form 5500$2,408,643 $2,264,210 
 
 
 
Distributions payable to participants are recorded on the Form 5500 for benefit claims that have been processed and approved for payment prior to December 31, but not yet paid as of that date. The following is a reconciliation of distributions to participants per the financial statements to the Form 5500 for the year ended December 31, 2025:
 
2025
Distributions to participants per the financial statements$267,024 
Distributions payable to participants at December 31, 2024
(352)
Distributions payable to participants at December 31, 2025
1,125 
 
 
Distributions to participants per the Form 5500$267,797 

NOTE 8. SUBSEQUENT EVENTS

As part of collective bargaining agreements ratified during 2025, certain bargained employees (representing approximately 60% of current plan participants) no longer participate in the AT&T Savings and Security Plan but instead participate in the AT&T Retirement Savings Plan effective January 1, 2026. The participant balances and assets held by these bargained employees, totaling approximately $1,300,000, were transferred from the AT&T Savings and Security Plan into the AT&T Retirement Savings Plan on January 28, 2026.

As part of collective bargaining agreements ratified during 2026, the remaining bargained employees participating in the AT&T Savings and Security Plan will instead participate in the AT&T Retirement Savings Plan effective on October 1, 2026. Subsequent to the effective date the remaining participant balances and assets held by these bargained employees will be transferred from the AT&T Savings and Security Plan into the AT&T Retirement Savings Plan.


9



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
Interest-Bearing Investments
* BNY MELLON CASH RESERVE11,735$12 
Common Stocks
* AT&T INC13,502,268335,396 
Mutual Funds or Exchange-Traded Funds
* DREYFUS GOVERNMENT CASH MANAGEMENT FUND10,366,80610,367 
Asset Allocation Funds
* ASSP RET FUND228,1024,314 
* ASSP FUND- 2010127,6613,028 
* ASSP FUND- 2015123,5123,157 
* ASSP FUND- 2020142,0503,790 
* ASSP FUND- 2025263,4717,728 
* ASSP FUND- 2030694,51721,468 
* ASSP FUND- 2035529,27718,609 
* ASSP FUND- 2040341,04012,847 
* ASSP FUND- 204568,0232,632 
* ASSP FUND- 205031,4981,200 
* ASSP FUND- 20559,306379 
* ASSP FUND- 206016,413443 
* ASSP FUND- 206512,418168 
* ATT SBC 2070 RET FD
7,89592 
Total Asset Allocation Funds79,855 
Large Cap U.S. Stock Index Fund
* BLACKROCK EQUITY INDEX FUND F4,938,911722,014 
Mid and Small Cap U.S. Stock Index Fund
* BLACKROCK EXTENDED EQUITY MARKET FUND F2,340,029317,674 
Bond Index Fund
* BLACKROCK GOVERNMENT/CREDIT BOND INDEX FUND F5,680,369192,179 
International Stock Index Fund
* BLACKROCK EAFE EQUITY INDEX FUND F3,010,809230,209 
Global Equity Fund
* BLACKROCK US EQUITY MARKET FUND F4,349,645233,944
10



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
Interest Income Fund
BANK OF MONTREAL5.30 %6/5/2026$729 
ROYAL BANK OF CANADA1.40 %11/2/2026612 
TORONTO-DOMINION BANK/THE4.11 %6/8/2027301 
TORONTO-DOMINION BANK/THE4.99 %4/5/20291,004 
CANADIAN IMPERIAL BANK OF COMM4.86 %3/30/2029722 
AB BSL CLO 6 LTD 6A A 144A5.31 %7/20/2037552 
ATLAS SENIOR LOAN 18A A1R 144A4.99 %1/18/2035849 
BAIN CAPITAL CRED 3A A1RR 144A5.07 %10/23/2034600 
BAIN CAPITAL CREDIT 3A A1 144A5.37 %7/16/2037501 
CIFC FUNDING 2018- 3A A1R 144A5.35 %10/18/2038622 
DRYDEN 80 CLO LTD 80A ARR 144A4.83 %1/17/2033835 
DRYDEN 76 CLO LT 76A A1R2 144A5.27 %10/15/20371,303 
ELMWOOD CLO 26 LTD 1A A1 144A5.38 %4/18/2037601 
GOLUB CAPITAL PART 53A AR 144A4.86 %7/20/2034500 
NASSAU 2018-II LTD IIA A 144A5.45 %10/15/203154 
TIKEHAU US CLO I LT 1A A1 144A5.37 %1/18/2035750 
TRESTLES CLO VII LT 7A A1 144A5.24 %10/25/2037501 
TRINITAS CLO XXX L 30A A1 144A5.23 %10/23/2037301 
ZAIS CLO 18 LTD 18A A1R 144A5.18 %10/25/2037600 
DANSKE BANK A/S 144A5.43 %3/1/2028556 
NORDEA BANK ABP 144A1.50 %9/30/2026228 
SUMITOMO MITSUI FINANCIAL GROU3.04 %7/16/20291,345 
ING GROEP NV3.95 %3/29/2027460 
WESTPAC NEW ZEALAND LTD 144A4.90 %2/15/2028224 
PFIZER INVESTMENT ENTERPRISES4.45 %5/19/2028715 
UBS AG/STAMFORD CT1.25 %8/7/2026640 
UBS GROUP AG 144A1.36 %1/30/2027549 
CSL FINANCE PLC 144A3.85 %4/27/202775 
RIO TINTO FINANCE USA PLC4.88 %3/14/2030715 
NATWEST GROUP PLC4.89 %5/18/2029966 
ALPHABET INC4.10 %11/15/2030527 
AMERICAN EXPRESS CREDIT AC 1 A4.87 %5/15/2028301 
AMPHENOL CORP3.90 %11/15/2028150 
BA CREDIT CARD TRUST A2 A24.98 %11/15/2028404 
BANK5 2025-5YR17 5YR17 A35.23 %11/15/2058361 
BANK5 2025-5YR14 5YR14 A35.65 %4/15/2058366 
BANK5 2024-5YR9 5YR9 A35.61 %8/15/2057312 
BANK5 2024-5YR11 5YR11 A35.89 %11/15/2057263 
BARCLAYS DRYROCK ISSUANCE 1 A4.72 %2/15/2029601 
BARCLAYS DRYROCK ISSUANCE 1 A3.97 %7/15/2031401 
BENCHMARK 2021-B28 MOR B28 ASB1.98 %8/15/2054188 
BP CAPITAL MARKETS AMERICA INC4.70 %4/10/2029638 
11



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
COMM 2024-277P MOR 277P A 144A6.34 %8/10/2044$316 
CAPITAL ONE MULTI-ASSET E A2 A4.02 %9/15/2032400 
CHASE AUTO OWNER TR 4A A3 144A4.94 %7/25/2029581 
CITIBANK NA5.80 %9/29/2028650 
JOHN DEERE CAPITAL CORP4.50 %1/16/2029966 
ECOLAB INC1.65 %2/1/2027318 
EQUITABLE FINANCIAL LIFE 144A5.00 %3/27/2030823 
EXETER AUTOMOBILE RECEIV 1A A24.70 %9/15/202718 
META PLATFORMS INC4.20 %11/15/2030226 
FHLMC POOL #A6-44406.00 %8/1/20371 
FHLMC POOL #A6-38096.00 %8/1/20371 
FHLMC POOL #A6-41426.00 %8/1/20371 
FHLMC POOL #A6-56526.00 %9/1/20371 
FHLMC POOL #A6-89986.00 %11/1/20371 
FHLMC POOL #A6-98306.00 %12/1/20371 
FHLMC POOL #A6-96546.00 %12/1/20371 
FHLMC POOL #A7-64726.00 %4/1/20381 
FHLMC POOL #G0-33306.00 %9/1/20371 
FHLMC POOL #G0-33496.00 %10/1/20371 
FHLMC POOL #G0-35516.00 %11/1/20374 
FHLMC POOL #G0-35816.00 %11/1/20372 
FHLMC POOL #G0-36166.00 %12/1/20371 
FHLMC POOL #G0-36466.00 %1/1/20381 
FHLMC POOL #G0-36986.00 %12/1/20371 
FHLMC POOL #G0-37216.00 %12/1/20371 
FHLMC POOL #G0-37766.00 %1/1/20382 
FHLMC POOL #G0-37816.00 %1/1/20381 
FHLMC POOL #G0-39416.00 %2/1/20382 
FHLMC POOL #G0-42306.00 %4/1/20381 
FHLMC POOL #G0-44116.00 %6/1/20383 
FHLMC POOL #G0-45766.00 %9/1/20382 
FHLMC POOL #G0-46076.00 %9/1/20381 
FHLMC POOL #G0-46456.00 %7/1/20382 
FHLMC POOL #G0-47136.00 %10/1/20381 
FHLMC POOL #G0-47656.00 %9/1/20382 
FHLMC POOL #G0-53696.00 %3/1/20391 
FHLMC POOL #G0-67896.00 %5/1/20401 
FHLMC POOL #G0-60666.00 %5/1/20402 
FHLMC POOL #G0-62496.00 %5/1/20401 
FHLMC POOL #G0-69546.00 %5/1/20402 
FHLMC POOL #G0-72226.00 %4/1/20402 
FHLMC POOL #A8-10686.00 %8/1/20381 
FHLMC POOL #C0-34756.00 %4/1/20401 
12



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
FHLMC POOL #C0-33256.00 %2/1/2039$1 
FHLMC POOL #A8-57416.00 %4/1/20391 
FHLMC POOL #SD-49675.50 %2/1/20541,750 
FHLMC POOL #V8-08046.00 %1/1/20393 
FNMA GTD REMIC P/T 13-13 MA4.00 %1/25/204399 
FNMA GTD REMIC P/T 15-92 PA2.50 %12/25/204145 
FNMA GTD REMIC P/T 16-11 GA2.50 %3/25/2046234 
FNMA GTD REMIC P/T 16-43 MA3.00 %10/25/2045183 
FNMA GTD REMIC P/T 17-86 PA3.00 %6/25/2045172 
FHLMC MULTICLASS MTG 4189 PA3.50 %11/15/204258 
FHLMC MULTICLASS MTG 4585 DA3.00 %6/15/2045181 
FHLMC MULTICLASS MTG 4594 PA3.00 %11/15/2044124 
FHLMC MULTICLASS MTG 4604 HA2.50 %5/15/2045128 
FHLMC MULTICLASS MTG 4874 AT3.00 %9/15/204890 
FNMA POOL #05556785.00 %8/1/2033176 
FNMA POOL #07252286.00 %3/1/2034122 
FNMA POOL #07356765.00 %7/1/203561 
FNMA POOL #0BF01984.00 %11/1/2040166 
FNMA POOL #0AB01305.00 %5/1/203818 
FORD CREDIT AUTO LEASE TR A A34.72 %6/15/2028479 
GNMA II POOL #0MA53325.00 %7/20/2048347 
GNMA II POOL #0MA55305.00 %10/20/2048186 
GNMA II POOL #0MA55964.50 %11/20/204824 
GNMA II POOL #0MA57114.50 %1/20/204913 
GNMA II POOL #0MA57644.50 %2/20/204952 
GNMA II POOL #0MA58184.50 %3/20/204970 
GNMA II POOL #0MA58195.00 %3/20/204916 
GNMA II POOL #0MA58774.50 %4/20/2049103 
GNMA II POOL #0MA59874.50 %6/20/204936 
GNMA II POOL #0MA59885.00 %6/20/2049490 
GM FINANCIAL AUTOMOBILE L 1 A35.09 %3/22/2027246 
GM FINANCIAL CONSUMER AUT 1 A34.62 %12/17/2029556 
HOME DEPOT INC/THE2.95 %6/15/2029993 
M&T BANK AUTO RECE 1A A2A 144A4.63 %5/15/2028465 
MARS INC 144A4.55 %4/20/2028658 
MARS INC 144A4.80 %3/1/2030950 
MERCEDES-BENZ FINANCE NOR 144A5.20 %8/3/2026760 
MERCEDES-BENZ AUTO LEASE A A35.32 %1/18/2028581 
METROPOLITAN LIFE GLOBAL 144A4.85 %1/8/20291,296 
NESTLE CAPITAL CORP 144A4.75 %3/12/2031641 
PACIFIC LIFE GLOBAL FUNDI 144A1.38 %4/14/2026472 
PHILIP MORRIS INTERNATIONAL IN4.88 %2/13/2029640 
ROCK TRUST 2024-CN CNTR A 144A5.39 %11/13/2041514 
13



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
REALTY INCOME CORP3.40 %1/15/2028$643 
RELIANCE STANDARD LIFE GL 144A1.51 %9/28/2026197 
SANTANDER DRIVE AUTO RECE 3 A35.63 %1/16/2029318 
SANTANDER DRIVE AUTO RECE 1 A34.74 %1/16/2029276 
SFS AUTO RECEIVABLE 1A A2 144A4.65 %5/22/2028235 
U S TREASURY NOTE3.50 %4/30/20301,669 
U S TREASURY NOTE4.13 %7/31/20282,802 
U S TREASURY NOTE4.38 %8/31/20286,057 
U S TREASURY NOTE4.88 %10/31/20286,453 
U S TREASURY NOTE4.25 %2/28/20293,827 
U S TREASURY NOTE4.63 %4/30/20292,881 
U S TREASURY NOTE4.50 %5/31/20292,059 
U S TREASURY NOTE4.00 %7/31/20292,382 
U S TREASURY NOTE3.63 %8/31/20293,141 
U S TREASURY NOTE4.13 %10/31/20295,944 
U S TREASURY NOTE4.13 %11/30/20297,319 
U S TREASURY NOTE4.25 %8/15/2035283 
U S TREASURY NOTE3.50 %12/15/2028799 
WF CARD ISSUANCE TRUST A2 A4.29 %10/15/2029429 
BFLD COMMERCIAL MO 660F A 144A5.25 %11/15/2042301 
BX TRUST 2025-ROIC ROIC A 144A4.89 %3/15/2030398 
BANK OF AMERICA CORP3.97 %2/7/20302,108 
BANK OF AMERICA CORP5.82 %9/15/2029480 
BANK OF AMERICA CORP5.16 %1/24/2031279 
* BANK OF NEW YORK MELLON CORP/T4.95 %4/26/2027461 
BENCHMARK 2024-V7 MORTGA V7 A36.23 %5/15/2056238 
BENCHMARK 2024-V11 MORT V11 A35.91 %11/15/2057473 
CITIGROUP INC3.67 %7/24/2028147 
CITIGROUP INC3.52 %10/27/2028122 
CITIGROUP INC4.54 %9/19/2030282 
FHLMC POOL #2B-00696.75 %12/1/204115 
FHLMC POOL #78-86576.38 %9/1/20312 
FHLMC POOL #84-90086.62 %6/1/204220 
FHLMC POOL #84-95396.33 %11/1/204411 
FHLMC POOL #84-97276.33 %5/1/204576 
FHLMC POOL #2B-62646.29 %6/1/204730 
FNMA POOL #0AK56776.29 %2/1/20426 
FNMA POOL #0AL16746.55 %5/1/20424 
FNMA POOL #0AL24926.40 %10/1/204219 
FNMA GTD REMIC P/T 03-W10 2A3.96 %6/25/204341 
FNMA GTD REMIC P/T 04-T4 A95.45 %8/25/20342 
FNMA POOL #06860266.47 %4/1/20333 
FNMA POOL #07563596.05 %12/1/203316 
14



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
FNMA POOL #0BM15236.28 %7/1/2047$60 
HUDSON YARDS 2025- SPRL A 144A5.47 %1/13/2040363 
JPMORGAN CHASE & CO5.30 %7/24/2029773 
JPMORGAN CHASE & CO5.58 %4/22/20301,497 
JPMORGAN CHASE & CO4.60 %10/22/2030284 
KRE COMMERCIAL MOR AIP4 A 144A5.05 %3/15/2042300 
MORGAN STANLEY4.65 %10/18/2030284 
MORGAN STANLEY4.99 %4/12/20291,145 
PNC FINANCIAL SERVICES GROUP I5.58 %6/12/20291,297 
WELLS FARGO & CO5.57 %7/25/20291,010 
U S TREASURY BD CPN STRIP %8/15/2033285 
U S TREASURY BD CPN STRIP %8/15/2034967 
U S TREASURY BD CPN STRIP %11/15/2031310 
U S TREASURY BD CPN STRIP %5/15/2032651 
U S TREASURY BD CPN STRIP %8/15/20292,163 
U S TREASURY BD CPN STRIP %11/15/20291,387 
U S TREASURY BD CPN STRIP %8/15/2030327 
MACQUARIE GROUP LTD 144A1.34 %1/12/2027150 
RAD CLO 25 LTD 25A A1 144A6.78 %7/20/2037476 
TORONTO-DOMINION BANK/THE4.46 %6/8/2032250 
BAIN CAPITAL CRED 3A A1RR 144A5.07 %10/23/2034750 
CIFC FUNDING 2018- 3A A1R 144A5.35 %10/18/2038622 
CARLYLE US CLO 202 8A A1R 144A5.25 %10/15/2038601 
CARVAL CLO XI C LTD 3A A1 144A5.27 %10/20/2037301 
CIFC FUNDING 2019 4A A1R2 144A5.20 %7/15/2038376 
MAGNETITE XLIV LTD 44A A1 144A5.25 %10/15/2037526 
NASSAU 2018-II LTD IIA A 144A5.45 %10/15/203154 
OCP CLO 2025-45 LTD 45A A 144A5.10 %10/15/2038676 
PARK BLUE CLO 2024- 5A A1 144A5.34 %7/25/2037251 
PIKES PEAK CLO 5 5A A1R 144A5.28 %10/20/2037326 
POLUS US CLO II LTD 2A A1 144A5.40 %7/20/2038502 
SYMPHONY CLO 36 LT 52A AR 144A0.01 %1/20/2036400 
WONDER LAKE PARK CLO 1A A 144A5.61 %7/24/2038853 
TOTALENERGIES CAPITAL INTERNAT2.83 %1/10/2030431 
BNP PARIBAS SA 144A1.32 %1/13/2027275 
MITSUBISHI UFJ FINANCIAL GROUP3.85 %3/1/2026400 
EQUINOR ASA2.38 %5/22/2030116 
UBS GROUP AG 144A2.75 %2/11/2033180 
UBS GROUP AG 144A5.58 %5/9/2036240 
CSL FINANCE PLC 144A3.85 %4/27/202725 
CSL FINANCE PLC 144A4.25 %4/27/2032123 
PRUDENTIAL FUNDING ASIA PLC3.13 %4/14/203072 
COREBRIDGE GLOBAL FUNDING 144A4.85 %6/6/2030623 
15



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
ADOBE INC2.15 %2/1/2027$197 
AIR PRODUCTS AND CHEMICALS INC1.85 %5/15/2027122 
AIR PRODUCTS AND CHEMICALS INC2.05 %5/15/203069 
COMMIT TO PUR FNMA SF MTG2.00 %1/1/20562,428 
COMMIT TO PUR FNMA SF MTG2.50 %1/1/2056(1,694)
COMMIT TO PUR FNMA SF MTG3.00 %1/1/2056(1,773)
COMMIT TO PUR FNMA SF MTG3.50 %1/1/2056(1,852)
COMMIT TO PUR FNMA SF MTG5.00 %1/1/20562,995 
COMMIT TO PUR FNMA SF MTG5.50 %1/1/20565,073 
COMMIT TO PUR FNMA SF MTG6.00 %1/1/20561,027 
AMAZON.COM INC3.15 %8/22/2027670 
AMERICAN EXPRESS CREDIT AC 3 A4.51 %4/15/2032358 
APPLE INC2.45 %8/4/2026893 
APPLIED MATERIALS INC1.75 %6/1/2030204 
ARCHER-DANIELS-MIDLAND CO3.25 %3/27/203073 
ARCHER-DANIELS-MIDLAND CO2.90 %3/1/2032138 
BBCMS MORTGAGE TRUST 2 5C25 A35.95 %3/15/2057105 
BMO 2024-C9 MORTGAGE TRU C9 A55.76 %7/15/2057186 
BAKER HUGHES HOLDINGS LLC / BA3.34 %12/15/2027307 
BANK OF AMERICA CORP3.25 %10/21/2027396 
BANK 2019-BNK21 BN21 A52.85 %10/17/2052711 
BANK 2020-BNK29 BN29 A42.00 %11/15/2053310 
BANK 2020-BNK30 BN30 A41.93 %12/15/2053177 
BANK5 2024-5YR8 5YR8 A35.88 %8/15/2057131 
BANK5 2024-5YR10 5YR10 A35.30 %10/15/2057155 
BANK5 2025-5YR14 5YR14 A35.65 %4/15/2058445 
BANK5 2024-5YR9 5YR9 A35.61 %8/15/2057312 
BARCLAYS DRYROCK ISSUANCE 1 A3.97 %7/15/2031251 
BBCMS MORTGAGE TRUST 2 5C34 A35.66 %5/15/2058314 
BENCHMARK 2021-B31 MORT B31 A52.67 %12/15/2054224 
BP CAPITAL MARKETS AMERICA INC4.23 %11/6/2028176 
BRISTOL-MYERS SQUIBB CO2.95 %3/15/203293 
CAMDEN PROPERTY TRUST2.80 %5/15/2030212 
CISCO SYSTEMS INC5.05 %2/26/203464 
CITIGROUP INC3.40 %5/1/2026799 
COLGATE-PALMOLIVE CO3.25 %8/15/2032189 
COMCAST CORP3.30 %2/1/202727 
COMCAST CORP3.15 %2/15/202849 
COMCAST CORP4.15 %10/15/2028377 
COMCAST CORP2.65 %2/1/2030378 
COMMIT TO PUR GNMA II JUMBOS2.00 %1/20/2056829 
COMMIT TO PUR GNMA II JUMBOS2.50 %1/20/20561,729 
COMMIT TO PUR GNMA II JUMBOS3.00 %1/20/2056(900)
16



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
COMMIT TO PUR GNMA II JUMBOS4.00 %1/20/2056$(1,890)
COMMIT TO PUR GNMA II JUMBOS4.50 %1/20/2056(2,926)
COMMIT TO PUR GNMA II JUMBOS5.50 %1/20/20563,030 
COMMIT TO PUR GNMA II JUMBOS6.00 %1/20/20562,039 
COSTCO WHOLESALE CORP1.38 %6/20/2027218 
DEERE & CO3.10 %4/15/2030145 
JOHN DEERE CAPITAL CORP1.75 %3/9/2027220 
WALT DISNEY CO/THE3.80 %3/22/2030149 
DUKE ENERGY CAROLINAS LLC3.95 %11/15/2028201 
EAST OHIO GAS CO/THE 144A2.00 %6/15/203068 
EXETER AUTOMOBILE RECEIV 3A A34.78 %7/16/2029201 
EXETER AUTOMOBILE RECEIV 1A A24.70 %9/15/202718 
META PLATFORMS INC3.50 %8/15/2027424 
META PLATFORMS INC4.20 %11/15/2030251 
FHLMC POOL #G0-80795.00 %9/1/203550 
FHLMC POOL #SD-02944.50 %3/1/2050671 
FHLMC POOL #SD-02953.00 %2/1/2049645 
FHLMC POOL #SD-02964.00 %3/1/2050983 
FHLMC POOL #SD-75313.00 %12/1/2050463 
FHLMC POOL #SD-75402.50 %5/1/20511,299 
FHLMC POOL #SD-75634.50 %5/1/2053784 
FHLMC POOL #SD-75716.50 %6/1/2054851 
FHLMC POOL #SD-81462.00 %5/1/2051673 
FHLMC POOL #Q0-44393.50 %11/1/204110 
FHLMC POOL #U9-00653.50 %8/1/204254 
FHLMC POOL #U9-50263.50 %7/1/204247 
FHLMC POOL #G6-77003.50 %8/1/2046493 
FHLMC POOL #G6-77134.00 %6/1/2048531 
FHLMC POOL #RA-14113.00 %9/1/2049418 
FHLMC POOL #RA-52762.50 %5/1/20511,915 
FHLMC POOL #RA-58012.50 %9/1/2051600 
FHLMC POOL #RA-58532.50 %9/1/2051595 
FHLMC POOL #RA-82136.00 %11/1/2052272 
FHLMC POOL #RA-84176.00 %1/1/2053749 
FNMA GTD REMIC P/T 13-13 MA4.00 %1/25/204375 
FNMA GTD REMIC P/T 15-92 PA2.50 %12/25/204149 
FNMA GTD REMIC P/T 16-M7 A22.50 %9/25/2026268 
FNMA GTD REMIC P/T 16-43 MA3.00 %10/25/2045247 
FHLMC MULTICLASS MTG 4570 PA3.00 %3/15/2044150 
FHLMC MULTICLASS MTG 4585 DA3.00 %6/15/2045290 
FHLMC MULTICLASS MTG 4594 PA3.00 %11/15/2044137 
FHLMC MULTICLASS MTG 4604 HA2.50 %5/15/2045143 
FHLMC MULTICLASS MTG K127 A22.11 %1/25/2031752 
17



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
FNMA POOL #0AI86184.00 %12/1/2041$102 
FNMA POOL #0AJ31074.00 %1/1/204268 
FNMA POOL #0AJ40504.00 %10/1/204173 
FNMA POOL #0AL72323.50 %9/1/2045140 
FNMA POOL #0AL74953.50 %10/1/204596 
FNMA POOL #0AL79103.50 %2/1/2045193 
FNMA POOL #0AL79513.50 %1/1/2046104 
FNMA POOL #0AQ08173.50 %12/1/2042352 
FNMA POOL #0AR83053.50 %5/1/2043519 
FNMA POOL #0AS61883.50 %11/1/2045134 
FNMA POOL #0AT83903.50 %6/1/2043506 
FNMA POOL #0AX33583.50 %11/1/20454 
FNMA POOL #0AX63733.50 %2/1/20454 
FNMA POOL #0AX77143.50 %2/1/20454 
FNMA POOL #0AY29303.50 %4/1/20452 
FNMA POOL #0AY44503.50 %2/1/20455 
FNMA POOL #0AY42033.50 %5/1/204524 
FNMA POOL #0AY47813.50 %3/1/20453 
FNMA POOL #0AY63033.50 %2/1/204514 
FNMA POOL #0AZ00543.50 %7/1/20452 
FNMA POOL #0AZ12233.50 %6/1/20457 
FNMA POOL #0AZ13673.50 %5/1/20452 
FNMA POOL #0AZ26043.50 %8/1/20452 
FNMA POOL #0AZ26193.50 %8/1/20452 
FNMA POOL #0AZ26373.50 %9/1/20456 
FNMA POOL #0AZ26653.50 %10/1/20458 
FNMA POOL #0AZ27093.50 %6/1/20452 
FNMA POOL #0AZ51963.50 %8/1/20452 
FNMA GTD REMIC P/T 04-W1 2A27.00 %12/25/203376 
FNMA POOL #0AZ86833.50 %1/1/20464 
FNMA POOL #0BA35533.50 %11/1/20453 
FNMA POOL #0BA28993.50 %11/1/204511 
FNMA POOL #0BA29783.50 %11/1/20451 
FNMA POOL #0BA30843.50 %12/1/20453 
FNMA POOL #0BA53243.50 %11/1/20455 
FNMA POOL #0BA47003.50 %11/1/20453 
FNMA POOL #0BC34813.50 %2/1/20464 
FNMA POOL #0BM43434.50 %5/1/2048657 
FNMA POOL #0BM55385.00 %11/1/2048325 
FNMA POOL #0CA21564.00 %8/1/2048128 
FNMA POOL #0CA47563.00 %12/1/2049436 
FNMA POOL #0CA64153.00 %7/1/20501,305 
FNMA POOL #0CA69882.50 %9/1/20501,263 
18



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
FNMA POOL #0CB60805.50 %4/1/2053$760 
FNMA POOL #0FM13894.50 %6/1/2049368 
FNMA POOL #0FM86912.50 %9/1/2051616 
FNMA POOL #0FS12023.00 %9/1/20501,896 
FNMA POOL #0AB27754.50 %4/1/204193 
FNMA POOL #0MA08784.00 %10/1/203174 
FNMA POOL #0MA44652.00 %10/1/2051252 
FNMA POOL #0MA41582.00 %10/1/20501,363 
FNMA POOL #0MA41822.00 %11/1/20501,362 
FIFTH THIRD BANK NA2.25 %2/1/2027418 
GNMA II POOL #0MA16014.00 %1/20/2044366 
GNMA II POOL #0MA26794.00 %3/20/2045554 
GNMA II POOL #0MA21494.00 %8/20/2044468 
GNMA II POOL #0MA23044.00 %10/20/204419 
GNMA II POOL #0MA27554.00 %4/20/204519 
GNMA II POOL #0MA28934.00 %6/20/2045300 
GNMA II POOL #0MA31064.00 %9/20/2045422 
GNMA II POOL #0MA33114.00 %12/20/204531 
GNMA II POOL #0MA33774.00 %1/20/2046122 
GNMA II POOL #0MA54005.00 %8/20/204848 
GNMA II POOL #0MA50805.00 %3/20/2048278 
GNMA II POOL #0MA51934.50 %5/20/2048133 
GNMA II POOL #0MA62214.50 %10/20/2049162 
GNMA II POOL #0MA54674.50 %9/20/2048440 
GNMA II POOL #0MA55975.00 %11/20/2048340 
GNMA II POOL #0MA56535.00 %12/20/2048117 
GNMA II POOL #0MA57114.50 %1/20/2049850 
GNMA II POOL #0MA57125.00 %1/20/2049375 
GNMA II POOL #0MA58184.50 %3/20/204936 
GNMA II POOL #0MA58195.00 %3/20/2049154 
GNMA II POOL #0MA71373.00 %1/20/2051237 
GNMA II POOL #0MA65413.00 %3/20/2050304 
GNMA II POOL #0MA77683.00 %12/20/20511,229 
GNMA II POOL #0MA82684.50 %9/20/2052748 
GNMA II POOL #0MA83474.50 %10/20/20522,276 
GNMA II POOL #0MA86443.50 %2/20/2053715 
GNMA II POOL #00052804.00 %1/20/204292 
GNMA II POOL #00048025.00 %9/20/2040122 
GNMA GTD REMIC P/T 21-135 A2.00 %8/20/2051745 
HOME DEPOT INC/THE3.90 %12/6/2028176 
INTERCONTINENTAL EXCHANGE INC4.35 %6/15/2029334 
INTUIT INC1.35 %7/15/2027145 
INTUIT INC1.65 %7/15/203090 
19



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
KIMBERLY-CLARK CORP3.10 %3/26/2030$48 
LAM RESEARCH CORP3.75 %3/15/2026525 
ELI LILLY & CO3.38 %3/15/2029120 
LOCKHEED MARTIN CORP5.25 %1/15/2033237 
MARS INC 144A3.20 %4/1/2030144 
MARS INC 144A4.80 %3/1/2030281 
MARS INC 144A5.00 %3/1/2032258 
MARS INC 144A5.20 %3/1/2035335 
MARSH & MCLENNAN COS INC2.25 %11/15/2030366 
MASTERCARD INC3.30 %3/26/2027174 
MIDAMERICAN ENERGY CO3.65 %4/15/2029198 
MORGAN STANLEY CAPITAL HR2 A43.59 %12/15/2050148 
NESTLE CAPITAL CORP 144A4.75 %3/12/2031590 
NUVEEN LLC 144A4.00 %11/1/2028325 
PAYPAL HOLDINGS INC3.90 %6/1/2027175 
PFIZER INC3.45 %3/15/2029494 
PFIZER INC2.63 %4/1/203094 
PFIZER INC1.70 %5/28/2030340 
PRINCIPAL FINANCIAL GROUP INC2.13 %6/15/2030251 
* PRUDENTIAL FINANCIAL INC3.88 %3/27/2028260 
PUBLIC SERVICE ELECTRIC AND GA3.70 %5/1/2028100 
ROCK TRUST 2024-CN CNTR A 144A5.39 %11/13/2041514 
SLG OFFICE TRUST 20 OVA A 144A2.59 %7/15/2041134 
SANTANDER DRIVE AUTO RECE 1 A34.74 %1/16/2029276 
CHARLES SCHWAB CORP/THE3.20 %3/2/2027218 
CHARLES SCHWAB CORP/THE2.90 %3/3/2032390 
SOUTHERN CALIFORNIA EDISON CO4.20 %3/1/2029124 
TOYOTA AUTO RECEIVABLES 2 B A34.71 %2/15/2028295 
TOYOTA AUTO LOAN EXT 1A A 144A1.07 %2/27/2034473 
TRUIST BANK2.25 %3/11/2030229 
UNITED PARCEL SERVICE INC4.45 %4/1/2030280 
U S TREASURY BOND4.00 %11/15/20523,101 
U S TREASURY NOTE3.50 %4/30/2030666 
U S TREASURY NOTE4.13 %11/30/202910,922 
U S TREASURY NOTE4.25 %5/15/20354,891 
UNITEDHEALTH GROUP INC5.30 %2/15/20301,199 
VOLKSWAGEN AUTO LOAN ENH 1 A2A4.65 %11/22/2027282 
WALMART INC3.70 %6/26/2028150 
WELLS FARGO & CO3.00 %10/23/2026834 
WELLS FARGO COMMERCIAL C51 ASB3.16 %6/15/2052103 
WELLS FARGO COMMERCIAL C58 A42.09 %7/15/2053225 
WELLS FARGO COMMERCIAL C59 A52.63 %4/15/2054317 
BANK 2025-BNK49 BNK49 A55.62 %3/15/2058238 
20



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
BBCMS MORTGAGE TRUST 20 C18 A55.71 %12/15/2055$238 
BBCMS MORTGAGE TRUST 20 C21 A56.00 %9/15/2056660 
BFLD COMMERCIAL MO 660F A 144A5.25 %11/15/2042301 
BX TRUST 2025-ROIC ROIC A 144A4.89 %3/15/2030249 
BX TRUST 2024-BIO BIO A 144A5.39 %2/15/2041274 
BX TRUST 2024-PAT PAT A 144A5.84 %3/15/2041150 
BX COMMERCIAL MORTG XL5 A 144A5.14 %3/15/2041135 
BX 2024-BRVE BRVE A 144A5.59 %4/15/2041311 
BLP 2024-IND2 A5.09 %3/15/2041236 
BANK OF AMERICA CORP4.27 %7/23/2029226 
BANK OF AMERICA CORP1.90 %7/23/2031315 
BANK OF AMERICA CORP2.30 %7/21/2032215 
BANK OF AMERICA CORP4.57 %4/27/2033175 
BANK OF AMERICA CORP5.08 %1/20/2027200 
BANK OF AMERICA CORP5.20 %4/25/2029451 
* BANK OF NEW YORK MELLON CORP/T5.32 %6/6/2036301 
BANK 2025-BNK50 BNK50 A55.65 %5/15/2068159 
BANK 2022-BNK40 BNK40 A43.39 %3/15/2064328 
BENCHMARK 2024-V8 MORTGA V8 A36.19 %7/15/2057158 
CITIGROUP INC2.98 %11/5/2030191 
DURST COMMERCIAL MO 151 A 144A5.15 %8/10/2042255 
FHLMC POOL #1B-14386.75 %1/1/20342 
FHLMC POOL #1B-01186.66 %8/1/20313 
FNMA GTD REMIC P/T 25-11 FB4.87 %3/25/2055276 
FHLMC MULTICLASS MTG KF73 AS4.67 %11/25/202985 
FHLMC MULTICLASS MTG F108 AS4.26 %2/25/203155 
FHLMC MULTICLASS MTG 5502 FG4.87 %2/25/2055171 
FHLMC MULTICLASS MTG K547 A24.42 %5/25/2030304 
FORD CREDIT AUTO OWNE 1 A 144A4.87 %8/15/2036333 
GNMA II POOL #0MA04145.38 %9/20/204221 
HUDSON YARDS 2025- SPRL A 144A5.47 %1/13/2040446 
IRV TRUST 2025-200 200P A 144A5.29 %3/14/2047411 
JPMORGAN CHASE & CO3.51 %1/23/2029322 
JPMORGAN CHASE & CO2.52 %4/22/203123 
JPMORGAN CHASE & CO2.96 %5/13/203194 
JPMORGAN CHASE & CO4.59 %4/26/2033478 
JPMORGAN CHASE & CO5.57 %4/22/2036321 
KRE COMMERCIAL MOR AIP4 A 144A5.05 %3/15/2042300 
MSWF COMMERCIAL MORTGAGE 2 A56.01 %12/15/2056108 
MORGAN STANLEY3.62 %4/1/2031170 
MORGAN STANLEY2.94 %1/21/203369 
MORGAN STANLEY5.05 %1/28/2027828 
MORGAN STANLEY5.16 %4/20/2029378 
21



AT&T SAVINGS AND SECURITY PLAN
EIN 43-1301883, PLAN NO. 004
SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)
December 31, 2025
(Dollars in Thousands)
Identity of IssueInterest
Rate
Maturity
Date
Number of
Shares/Units
Current Value
MORGAN STANLEY5.66 %4/17/2036$116 
STATE STREET CORP4.16 %8/4/2033206 
TRUIST FINANCIAL CORP6.05 %6/8/202760 
US BANCORP5.78 %6/12/2029177 
U S TREASURY BD CPN STRIP %8/15/2031177 
U S TREASURY BD CPN STRIP %2/15/20331,288 
U S TREASURY BD CPN STRIP %8/15/2033424 
U S TREASURY BD CPN STRIP %11/15/2031628 
U S TREASURY BD CPN STRIP %5/15/2032972 
* DREYFUS GOVT CM BOLD 61,959 
* DREYFUS GOVT CM BOLD 69,968 
Total Interest Income Fund at Fair Value235,032 
Adjustment From Fair Value To Contract Value For Fully Benefit-Responsive Investment Contracts1,429 
Total Interest Income Fund at Contract Value236,461 
* Notes Receivable from Participants
4.25% - 10.50%
52,283 
Total$2,410,394 
* Party-in-interest
22


SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the trustee (or other persons who administer the employee benefit plan) has duly caused this annual report to be signed by the undersigned thereunto duly authorized.


 
 AT&T Savings and Security Plan
 By: AT&T Services, Inc.,
 Plan Administrator for the Foregoing Plan
By/s/ Sabrina Sanders
 Sabrina Sanders
 Senior Vice President, Chief Accounting Officer and Controller
Date: June 22, 2026





EXHIBIT INDEX
Exhibit identified below, Exhibit 23 filed herein as exhibit hereto.
 
 Exhibit
  Number
 
 

ATTACHMENTS / EXHIBITS

EX-23 CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

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