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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

        

FORM 11-K


ANNUAL REPORT
PURSUANT TO SECTION 15(d) OF THE
SECURITIES EXCHANGE ACT OF 1934


    
(Mark one)
XANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended: December 31, 2025


TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934.

For the transition period from ____ to ____

Commission file number: 001-38033

    A. Full title of plan and the address of the plan, if different from that of the issuer named below:
DXC Technology Matched Asset Plan

    B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:

DXC Technology Company
20408 Bashan Drive, Suite 231
Ashburn, Virginia 20147





DXC Technology Matched Asset Plan
Financial Statements and Supplemental Schedule
December 31, 2025 and 2024
Table of Contents
Page


NOTE: All other schedules required by Section 29 CFR 2520.103-10 of the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.

1


REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM



To the Plan Participants and Plan Administrator of
DXC Technology Matched Asset Plan

Opinion on the Financial Statements

We have audited the accompanying statements of net assets available for plan benefits of DXC Technology Matched Asset Plan (the “Plan”) as of December 31, 2025 and 2024, the related statement of changes in net assets available for plan 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 present fairly, in all material respects, the net assets available for plan benefits of the Plan as of December 31, 2025 and 2024, and the changes in net assets available for plan benefits for the year ended December 31, 2025, in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on the Plan’s 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 audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. 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 Schedule

The supplemental 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 compliance 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, such schedule is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ Deloitte & Touche LLP

McLean, Virginia
May 21, 2026

We have served as the auditor of the Plan since 2019.

2


DXC TECHNOLOGY MATCHED ASSET PLAN

Statements of Net Assets Available for Plan Benefits


As of
December 31, 2025December 31, 2024
Assets:
Participant-directed investments - at fair value2,754,446,064 2,531,202,652 
Non-interest bearing cash769,450 335,743 
Receivables:
    Employer contribution receivable20,059,717 21,570,341 
    Notes receivable from participants17,565,624 18,284,927 
    Accrued investment income769,227 890,621 
    Unsettled trade receivables851,848 10,631,423 
        Total receivables39,246,416 51,377,312 
Total assets
2,794,461,930 2,582,915,707 
Liabilities:
    Accrued expenses695,046 738,005 
    Unsettled trade payables3,593,412 9,395,629 
Total liabilities
4,288,458 10,133,634 
Net assets available for plan benefits2,790,173,472 2,572,782,073 

The accompanying notes are an integral part of these financial statements.

3


DXC TECHNOLOGY MATCHED ASSET PLAN

Statement of Changes in Net Assets Available for Plan Benefits


Year Ended
December 31, 2025
Investment income:
  Net appreciation in fair value of investments369,921,795 
  Interest and Dividends12,752,530 
           Total investment income382,674,325 
Interest income on notes receivable from participants1,461,075
Additions:
  Participant contributions79,993,836 
  Employer contributions20,358,031 
  Rollover contributions11,037,316 
           Total additions111,389,183 
Net additions495,524,583 
Deductions:
  Distributions to participants336,646,514 
  Administrative expenses1,446,432 
           Total deductions338,092,946 
Increase in Net Assets Before Plan Transfer157,431,637 
Transfer in (Note 1)59,959,762 
Increase in Net Assets217,391,399 
Net assets available for benefits:
  Beginning of year2,572,782,073 
  End of year2,790,173,472 

The accompanying notes are an integral part of these financial statements.


4



DXC TECHNOLOGY MATCHED ASSET PLAN

Notes to Financial Statements

Note 1 - Description of the Plan

The following brief description of the DXC Technology Matched Asset Plan (the "Plan") is provided for general information purposes only. Participants should refer to the Plan document for more complete information. DXC Technology Company ("DXC"), its subsidiaries, and those joint ventures and partnerships over which DXC exercises control and that participate in the Plan are hereafter collectively referred to as "DXC" or the "Company." The joint ventures and partnerships participating in the Plan are hereafter referred to as a “Participating Employer”.
The Plan is a qualified defined contribution plan under the Internal Revenue Code, as amended (the "Code"), Section 401(a). Effective as of January 1, 1987, with respect to the portion thereof that qualifies as a qualified cash or deferred arrangement, is intended to satisfy the requirements of Code Section 401(k). It is also subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended ("ERISA").
The Company established the DXC Employee Benefits Fiduciary Committee (the "Committee"), which generally consists of four members appointed by the Compensation Committee of the Board of Directors of the Company who serve without additional compensation and are reimbursed by the Company for all reasonable expenses incurred in the discharge of their duties as members of the Committee to the extent such expenses are not paid by the Plan. The Committee serves as the named fiduciary and administrator of the Plan and has the power to interpret, construe and administer the Plan, and to decide any dispute which may arise under the Plan.
Plan Termination - Although it has not expressed any intent to do so, the Company reserves the right, under the Plan, to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA. In the event of Plan termination, the participants' rights to the Company's contributions fully vest immediately.
Eligibility and Participation - Any eligible employee (as defined in the Plan) who has satisfied the Plan's age requirement, and is employed by a Participating Employer, and who receives a stated compensation in respect of employment on the U.S. payroll of the Company, is eligible to become a participant, with the exception of a person who is represented by a collective bargaining unit and whose benefits have been the subject of good faith bargaining under a contract that does not specify that such person is eligible to participate in the Plan. In addition, the Company may decide to exempt all employees of any division, unit, facility or class from coverage under the Plan. Any person who leaves the Company and, at a later time becomes re-employed, must reapply to participate in the Plan, provided he or she otherwise meets the eligibility requirements.
5


Employee and Company Contributions - An eligible employee who elects to become a participant may authorize any whole percentage (at least 1% but not more than 50%, subject to certain additional limitations for highly compensated employees) of their compensation (as defined in the Plan) to be deferred and contributed to the trust fund on a pre-tax or Roth basis on his or her behalf, subject to certain Code limitations. Any compensation deferral in excess of applicable Code limitations, together with income allocable to that excess, will be returned to a participant. Any matching Company contribution attributable to any excess contribution, and income allocable thereto, will be forfeited and returned to the Company via the forfeiture account or applied to reduce future matching Company contributions or Plan administrative expenses. The Plan permits participants age 50 and over to make additional “catch-up” contributions in excess of the statutory limit on a pre-tax or Roth basis. For the 2025 plan year, eligible participants age 50 and over may make catch-up contributions up to the IRS limit of $7,500, and participants age 60 through 63 may make enhanced “super catch-up” contributions up to $11,250. These super catch-up amounts are in addition to the regular elective deferral limit for 2025.

The Plan includes an auto-enrollment provision whereby all newly eligible employees are automatically enrolled in the Plan unless they affirmatively elect not to participate in the Plan. Automatically enrolled participants have their deferral rate set at 3% of eligible compensation and their contributions invested in a designated balanced fund until changed by the participant. Contributions for those automatically enrolled in the Plan increase by 1% each year up to a maximum percentage specified by the Company.
Effective October 8, 2025, participants are permitted to make voluntary after-tax contributions to the Plan in whole number increments from 1% to 25% of eligible compensation, not to exceed applicable limits as determined by the plan administrator in its discretion from time to time for certain highly compensated employees. Participants who elect to make after-tax contributions remain subject to any additional limits applicable under the Plan and the Code.

The Company will contribute an amount equal to 50% of the first 6% of the participant's compensation deferral, except for certain groups of employees for whom, under the terms of their contract agreements, the Company will contribute different amounts.
Company match earned for all participants that are in the standard match is posted to participant accounts in January of the following year. In order to receive this match, participants must remain employed through the end of the year or terminate due to retirement or death. Retired or deceased employees receive their contribution as soon as administratively feasible. The few select participants that receive a match during the year include collectively bargained employees, Swiss Re and service contract employees. Participants should refer to the Plan document for more information about the aforementioned groups. Participants whose employment with their employer ceases at any time in December as a result of a workforce reduction will be considered to have been employed on December 31 for this purpose and will remain eligible for a matching contribution.
Additional profit-sharing amounts may be contributed at the discretion of the Company’s board of directors. A Participating Employer may make annual discretionary employer contributions for each Participating Employer's fiscal year. During the year-ended December 31, 2025, there were no discretionary contributions made to the Plan.

DXC acquired Luxoft Holding, Inc. on June 14, 2019. Luxoft USA, Inc., a subsidiary of Luxoft Holding, Inc. sponsored and maintained a qualified retirement plan under the Code, the Luxoft 401(k) Plan, through December 31, 2025. Effective December 31, 2025, the Luxoft 401(k) Plan was merged into the Plan. As a result, the Luxoft 401(k) Plan’s net assets available for benefits totaling $59,959,762 was transferred into the Plan.

6


Participant Accounts - Individual accounts are maintained for each Plan participant. Each participant's account is credited with the participant's contribution, the Company's matching and discretionary contributions and allocations of Plan investment returns, net of an allocation of investment management fees, and is reduced by any distributions. Allocations are based on participant earnings or account balances, as defined by the Plan document. The benefit to which a participant is entitled is the benefit that can be provided from the participant's vested account.
Investments - Participants direct the investment of their contributions and account balance into various investment options offered by the Plan.

Vesting of Participants' Interests/Forfeitures - Participants are fully vested immediately in their contributions plus actual earnings thereon.
The majority of participants have a 100% vested interest in the Company’s matching contributions after achieving one full year of service. For a few selected groups of participants, vesting in his or her Company's matching contributions is equal to 25% after completing two full years of service and increasing by 25% for each additional full year of service. Vesting accelerates to 100% in the event of reaching age 65 while employed by the Company, upon severance by reason of death or total and permanent disability.
Any nonvested portion of the Company's matching contributions will be forfeited at the earlier of five one-year consecutive breaks in service, or upon withdrawal from the Plan. Forfeitures may be applied to reduce future matching contributions by the Company, pay Plan administrative expenses and restore amounts previously forfeited by terminated employees. The Plan had a forfeiture balance of $278,975 and $184,228 as of December 31, 2025 and 2024, respectively. During 2025, employer contributions attributable to the year ended December 31, 2024 were reduced by $184,228. During 2026, employer contributions were reduced by $278,975 from forfeited nonvested accounts to fund contributions related to plan year 2025.
Distributable Amounts, Withdrawals and Refunds - With a few exceptions applicable to a few selected groups, a participant may become entitled to his or her distributable benefit by reason of retirement, death, total and permanent disability, voluntary termination of employment, dismissal, or attainment of age fifty-nine and one-half (59-1/2) years. The rules of payment of a participant's distributable benefit depend upon the age of, and number of years of service completed by, the participant and the type of severance.
While still an employee, a participant may take a withdrawal of his or her compensation deferral contributions provided a fully completed application is submitted. The request for withdrawal will be approved if it is deemed that an adequate financial hardship and resulting need for such an amount has been demonstrated by the participant. Additionally, if a participant is at least age fifty-nine and one-half years, they may make one in-service withdrawal per 12-month period for any vested amount for any reason without penalty or account suspension.
Administrative Expenses - Certain administrative expenses are paid by DXC, as provided in the Plan document. Participants pay quarterly administrative costs of $11.25 for maintaining an account in the Plan. Additionally, participants also pay fees for loans and qualified domestic relation orders. All investment management and transaction fees directly related to the Plan investments are paid by the Plan. Management fees and operating expenses charged to the Plan for investments are deducted from income earned on a daily basis and are not separately reflected. Consequently, investment management fees and operating expenses are reflected as a reduction of investment return for such investments.

Note 2 - Summary of Significant Accounting Policies

Basis of Accounting - The accompanying financial statements have been prepared in accordance with U.S. generally accepted accounting principles ("GAAP").
7


Use of Estimates - The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts in the financial statements and accompanying notes. These estimates are based on management’s knowledge of historical information and current events, and expectations about actions that the Company may undertake in the future. Actual results could differ materially from those estimates. In the opinion of Company management, the accompanying consolidated financial statements contain all adjustments necessary, including those of a normal recurring nature, to fairly present the financial statements.
Risks and Uncertainties - The Plan provides various investment options to its participants. Investment securities, in general, are exposed to various risks such as interest rate risk, credit risk, and overall market volatility. Market risks include global events which could impact the value of investment securities, such as a pandemic or international conflict. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the value of investment securities will occur in the near term and that such changes could materially affect participants' account balances and the amounts reported in the financial statements.
Securities of international companies involves special risks and considerations not typically associated with investing in U.S. companies. These risks include devaluation of currencies, less reliable information about issuers, different securities transaction clearance and settlement practices, and possible adverse political and economic developments. Moreover, securities of many international companies and their markets may be less liquid and their prices more volatile than those securities of comparable U.S. companies.
The Plan's investment in the following funds accounted for greater than 10% of total investments as of December 31, 2025 and 2024:

20252024
SSGA GLOBAL ALL CAP INDEX LENDING19%19%
TARGET SERIES RETIREMENT 2025*—11%
TARGET SERIES RETIREMENT 203013%13%
TARGET SERIES RETIREMENT 203511%*—
*This fund is not greater than 10% of the total investments.

Valuation of Investment Securities and Income Recognition - The Plan's investments are stated at fair value. Fair value of a financial instrument 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 4 - Fair Value Measurements).
Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Net appreciation (depreciation) includes the Plan's gains and losses on investments bought and sold as well as held during the year.
Notes Receivable from Participants - Notes receivable from participants are measured at their unpaid principal balance plus any accrued but unpaid interest. Delinquent participant loans are recorded as distributions based on the terms of the Plan document.

Payment of Benefits - Benefit payments to participants are recorded upon distribution. Amounts allocated to accounts of persons who have elected to withdraw from the Plan but have not yet been paid were $399,671 and $443,149 at December 31, 2025 and 2024, respectively.

8



Note 3 - Tax Status

The Internal Revenue Service (“IRS”) has determined and informed the Company by a determination letter dated May 5, 2015, that the Plan and related trust are designed in accordance with applicable sections of the Code and therefore, the related trust is exempt from taxation. In December 2016, the IRS began publishing a Required Amendments List ("List") for individually designed plans which specifies changes in qualification requirements. The List is published annually and requires plans to be amended for each item on the List, as applicable, to retain its tax exempt status. The Plan has been subsequently amended since the date of the most recent determination letter, however, the Plan administrator and tax counsel believe that the Plan and related trust are currently designed, have been amended, and are being operated in compliance with applicable requirements of the Code. As such, no provision for income taxes has been included in the Plan's financial statements.
Note 4 - Fair Value Measurements

The Company applies fair value accounting for all financial assets and liabilities that are recognized or disclosed at fair value in the financial statements on a recurring basis. The objective of a fair value measurement is to estimate the price to sell an asset or transfer a liability in an orderly transaction between market participants at the measurement date under current market conditions. Such transactions to sell an asset or transfer a liability are assumed to occur in the principal market for that asset or liability, or in the absence of the principal market, the most advantageous market.

Assets and liabilities subject to fair value measurement disclosures are required to be classified according to a three-level fair value hierarchy with respect to the inputs used to determine fair value. The level in which an asset or liability is disclosed within the fair value hierarchy is based on the lowest level input that is significant to the related fair value measurement in its entirety. The levels of input are defined as follows:
    
Level 1:Quoted prices unadjusted for identical assets or liabilities in an active market.
Level 2:
Quoted prices for similar assets or liabilities in an active market, quoted prices for identical similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable and market-corroborated inputs which are derived principally from or corroborated by observable market data.
Level 3:Unobservable inputs that reflect the entity's own assumptions which market participants would use in pricing the asset or liability.
        
Asset Valuation Techniques - Valuation techniques maximize the use of relevant observable inputs and minimize the use of unobservable inputs. The following is a description of the valuation methodologies used for assets measured at fair value.
DXC Technology Stock Fund - A unitized stock fund operates similarly to a mutual fund, in that they are composed of stock, and a small percentage of short-term interest-bearing vehicle valued at cost plus accrued interest. The inclusion of short-term interest-bearing vehicle provides liquid assets to allow for the daily processing of transfers, loans, and withdrawals. The value of a unit in a unitized stock fund is based on the NAV, which is the value of the underlying common stock and the cash piece held by the fund, divided by the number of units outstanding. Therefore, the NAV of the fund (the “unit price”) will, as a rule, be different from the closing price of the underlying stock on the applicable exchange. The individual assets of a stock fund (in this case, stock and short-term interest-bearing vehicle) are generally considered separately as individual investments for financial statement reporting purposes.

Self-directed brokerage account - Primarily includes a variety of mutual funds and common stocks.
Common Stocks - Valued at the closing price reported on the active market on which the individual securities are traded.
9


Mutual Funds - Valued at the daily closing price as reported by the fund. Mutual funds held by the Plan are open-ended mutual funds that are registered with the Securities and Exchange Commission. These funds are required to publish their daily net asset value and to transact at that price. The mutual funds held by the Plan are deemed to be actively traded.
Separately Managed Accounts - A portfolio of individual securities (common stocks, U.S. treasuries, U.S. government agencies, State and local obligations, Non-U.S. government funds, agency mortgage backed securities, asset and other mortgage backed securities, corporate bonds, short term investment funds) that is managed on the participant's behalf. The Plan directly owns the individual securities instead of pooling participant's assets with other investors. The individual assets of a separately managed account/fund are held in the name of the Plan (the Plan owns the underlying securities) and are generally considered separately as individual investments for accounting, auditing and financial statement reporting purposes.

The Plan's separately managed accounts that are available as investment options for plan participants are:
a.DXC Technology Stock Fund (DXC Technology Common Stock)
b.BlackRock Core Bond Portfolio (Diversified Bond Option)
c.Tremblant Managed Separate Account (Strategic Equity Option)

U.S. treasuries, U.S. government agencies, Non-U.S. government funds - Valued using pricing models maximizing the use of observable inputs for similar securities.
State and local obligations, agency mortgage backed securities, asset and other mortgage backed securities, corporate bonds - Valued using pricing models maximizing the use of observable inputs for similar securities. This includes basing value on yields currently available on comparable securities of issuers with similar credit ratings. When quoted prices are not available for identical or similar securities, the security is valued under a discounted cash flows approach that maximizes observable inputs, such as current yields of similar instruments, but includes adjustments for certain risks that may not be observable, such as credit and liquidity risks or a broker quote, if available.
Short term investment funds - The short-term investment funds are not exchange-traded funds, however, the price per unit are published and represent the actual price at which the units held in the funds can be bought or sold.
Commingled funds - Valued at the net asset value of units of a bank collective trust. The net asset value as provided by the trustee is used as a practical expedient to estimate fair value. The net asset value is based on the fair value of the underlying investments held by the fund less its liabilities. This practical expedient is not used when it is determined to be probable that the fund will sell the investment for an amount different than the reported net asset value. Participant transactions (purchases and sales) may occur daily. Were the Plan to initiate a full redemption of the collective trust, the investment advisor reserves the right to temporarily delay withdrawal from the trust in order to confirm that securities liquidations will be carried out in an orderly business manner. The funds held by the Plan have a daily redemption frequency and have no unfunded commitments or notice period requirement for participants.
The fair value of Plan assets by investment category and the corresponding level within the fair value hierarchy as of December 31, 2025 was as follows:
10


As of December 31, 2025
Investment Assets at Fair Value
 Level 1 Level 2 Level 3Total
DXC Technology Stock Fund
  DXC Technology common stock28,025,069   28,025,069 
Short term investment fund265,952  265,952 
Self-directed brokerage89,316,104   89,316,104 
Mutual Funds16,070,799   16,070,799 
Separately managed accounts:
International common stocks3,733,965   3,733,965 
U.S. common stocks55,701,458   55,701,458 
U.S. treasuries 10,395,154  10,395,154 
U.S. government agencies 2,037,386  2,037,386 
State and local obligations 27,498  27,498 
Non-U.S. government funds 615,129  615,129 
Agency mortgage backed securities 6,492,502  6,492,502 
Asset and other mortgage backed securities 4,142,794  4,142,794 
Corporate bonds 6,329,051  6,329,051 
Short term investment fund 3,980,461  3,980,461 
Short-term investment fund157,224,916  157,224,916 
Total assets in the fair value hierarchy192,847,395 191,510,843  384,358,238 
Investments measured at NAV
Commingled funds2,370,087,826 
Total investments2,754,446,064 
11


The fair value of Plan assets by investment category and the corresponding level within the fair value hierarchy as of December 31, 2024 was as follows:

As of December 31, 2024
Investment Assets at Fair Value
 Level 1 Level 2 Level 3Total
DXC Technology Stock Fund
  DXC Technology common stock42,136,501   42,136,501 
Short term investment fund 443,489  443,489 
Self-directed brokerage77,407,332   77,407,332 
Mutual Funds16,297,856   16,297,856 
Separately managed accounts:
International common stocks7,408,769   7,408,769 
U.S. common stocks53,285,598   53,285,598 
U.S. treasuries 10,237,536  10,237,536 
U.S. government agencies 3,027,937  3,027,937 
State and local obligations 26,535  26,535 
Non-U.S. government funds 402,898  402,898 
Agency mortgage backed securities 7,353,885  7,353,885 
Asset and other mortgage backed securities 2,536,053  2,536,053 
Corporate bonds 7,428,974  7,428,974 
Short term investment fund 152,083  152,083 
Short-term investment fund 161,399,443  161,399,443 
Total assets in the fair value hierarchy196,536,056 193,008,833  389,544,889 
Investments measured at NAV
Commingled funds2,141,657,763 
Total investments2,531,202,652 















12


Note 5 - Notes Receivable to Participants

The Plan allows participants to borrow from their vested account balances from a minimum of $1,000 to a maximum of 50% of their vested account balances up to $50,000, subject to certain limitations. The loans are secured by the balance in the participant account and bear interest at the prime rate quoted in the Wall Street Journal on the last business day of the calendar month prior to the loan plus 1%. Loan terms range from 1-5 years or up to 15 years for purchase of a principal residence.

Loan amounts are taken from the participants' accounts, prorated from sources and funds based on their balances at the time. Both loan principal and interest repayments are invested to sources in the same order in which the loan was withdrawn and to funds according to the participant's current investment fund elections. Principal and interest are paid ratably through payroll deductions.

Note 6 - Exempt Party-in-Interest Transactions

Certain investment funds are managed by the trustee and its affiliate, therefore these transactions qualify as exempt party-in-interest transactions. All trustee fees associated with the short-term investment fund managed by the trustee were paid through the trust for the year ended December 31, 2025. During the year ended December 31, 2025, the Plan expensed $160,253 for fund manager fees.
Actual fees paid by the Plan for recordkeeping services to an affiliate of the trustee also qualify as party-in-interest transactions. Such costs are included in administrative expenses in the accompanying financial statements. Investment management fees paid by the Plan to certain investment managers qualify as party-in-interest transactions. These expenses are reflected in the financial statements as a reduction of the return on the Plan's investments.
The Plan held notes receivable from participants, and therefore, these transactions also qualify as party-in-interest investments.
At December 31, 2025 and 2024, the Plan held 1,912,974 and 2,108,934 shares, respectively, of DXC Technology common stock with a cost basis of $69,210,639 and $76,698,953, respectively. During the year ended December 31, 2025, the Plan purchased $405,595 and sold $7,893,909 of these shares.
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,
20252024
Net assets available for benefits per the financial statements2,790,173,472 2,572,782,073 
Amounts allocated to withdrawing participants(399,671)(443,149)
Net assets available for benefits per Form 55002,789,773,801 2,572,338,924 
The following is a reconciliation of the net increase in net assets before transfer per the financial statements to the Form 5500 for the year ended December 31, 2025:
2025
Increase in Net Assets Before Plan Transfer per the financial statements157,431,637 
Distributions allocated to withdrawing participants at end of year(399,671)
Distributions allocated to withdrawing participants at start of year443,149 
Net income per Form 5500157,475,115 
13


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 statements336,646,514 
Amounts allocated to withdrawing participants at end of year399,671 
Amounts allocated to withdrawing participants at start of year(443,149)
Total benefit payments per the Form 5500336,603,036 

Amounts allocated to withdrawing participants are recorded as distributions on the Form 5500 for benefit claims that have been processed and approved for payment prior to year-end but not paid as of that date.



Note 8 - Subsequent Events

Subsequent events are evaluated through May 21, 2026, the date the financial statements are issued. DXC acquired Argo Design LLC in 2018. Argo Design LLC sponsored and maintained a qualified retirement plan under the Code, the Argodesign 401(k) Plan. In April 2026, the Argodesign 401(k) Plan was merged into the Plan and its net assets available for benefits was transferred into the Plan. There are no other subsequent events that require disclosure.









14


SUPPLEMENTAL SCHEDULE





Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company

(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
State Street Global AdvisorShort Term Investment Fund157,224,916
Brown Brothers Harriman & CompanyShort Term Investment Fund3,980,461
*DXC Technology Co. Common Stock28,025,069
*Fidelity Investment Short Term Investment Fund265,952
PIMCOPIMCO ALL ASSET16,070,799
*DXC Technology Co
Participant loans – interest rates range from 4.25% to 9.5%; maturing through 2040.
17,565,624
BlackRockBLACKROCK GLOBAL ALLOCATION16,907,034
Mellon Bank N.A. NEWTON GLOBAL REAL RETURN FUND17,403,602
JP MorganDIVERSIFIED COMMERCIAL PROP6,900,955
*FidelityFIAM SELECT GLOBAL CIT62,813,055
JENNISON GLOBAL OPP FUNDPRUDENTIAL TR CO COLLECTIVE T60,862,668
State Street Global AdvisorSSGA GLOBAL ALL CAP INDEX LENDING524,565,513
State Street Global AdvisorSSGA US INFL PRO BD II10,211,827
S-1



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
State Street Global AdvisorSSGA RETIREMENT INCOME170,094,577
State Street Global AdvisorSSGA TARGET RETIREMENT 2025 SL259,427,415
State Street Global AdvisorSSGA TARGET RETIREMENT 2030 SL352,953,551
State Street Global AdvisorSSGA TARGET RETIREMENT 2035 SL293,826,022
State Street Global AdvisorSSGA TARGET RETIREMENT 2040 SL194,275,454
State Street Global AdvisorSSGA TARGET RETIREMENT 2045 SL118,346,571
State Street Global AdvisorSSGA TARGET RETIREMENT 2050 SL89,764,393
State Street Global AdvisorSSGA TARGET RETIREMENT 2055 SL38,678,077
State Street Global AdvisorSSGA TARGET RETIREMENT 2060 SL33,230,628
State Street Global AdvisorSSGA TARGET RETIREMENT 2065 SL12,059,542
State Street Global AdvisorSSGA TARGET RETIREMENT 2070 SL126,562
Loomis SaylesCORE PLUS FULL DISCRETION CIT CLASS D22,873,697
FidelityFIAM CORE PLUS COMMINGLED POOL CLASS J22,836,978
State Street Global AdvisorSS U.S. Total Market Index Strategy55,806,960
STATE STREET BANK & TRUST COSS GACEQ EXUS IDX II6,122,745
Total Commingled Funds2,370,087,826
ABBVIE INCCorporate Bonds5.50 %3/15/206419,417
ADVANCED MICRO DEVICES INCCorporate Bonds4.39 %6/1/205210,153
S-2



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
AEP TEXAS INCCorporate Bonds5.70 %5/15/203410,423
AEP TRANSMISSION CO LLCCorporate Bonds3.15 %9/15/204919,604
AEP TRANSMISSION CO LLCCorporate Bonds4.50 %6/15/205224,583
AEP TRANSMISSION CO LLCCorporate Bonds5.15 %4/1/203412,234
AEP TRANSMISSION CO LLCCorporate Bonds5.38 %6/15/20355,157
ALABAMA POWER COCorporate Bonds3.45 %10/1/20499,957
ALPHABET INCCorporate Bonds4.10 %11/15/203034,104
ALPHABET INCCorporate Bonds5.70 %11/15/207536,417
ALTRIA GROUP INCCorporate Bonds3.70 %2/4/205115,546
ALTRIA GROUP INCCorporate Bonds3.88 %9/16/204610,522
ALTRIA GROUP INCCorporate Bonds4.45 %5/6/205010,420
ALTRIA GROUP INCCorporate Bonds5.25 %8/6/203510,124
ALTRIA GROUP INCCorporate Bonds5.63 %2/6/203510,397
AMAZON.COM INCorporate Bonds3.95 %4/13/205221,072
AMAZON.COM INCorporate Bonds4.65 %11/20/203539,838
AMAZON.COM INCorporate Bonds5.55 %11/20/206519,400
AMERICAN TOWER CORPCorporate Bonds2.70 %4/15/203127,546
AMGEN INCCorporate Bonds4.20 %2/22/205225,385
AMGEN INCCorporate Bonds5.75 %3/2/206381,957
S-3



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
APPALACHIAN POWER COCorporate Bonds4.50 %3/1/20492,458
APPLE INCCorporate Bonds2.65 %2/8/20517,418
APPLOVIN CORPCorporate Bonds5.13 %12/1/202930,772
APPLOVIN CORPCorporate Bonds5.38 %12/1/203132,146
APPLOVIN CORPCorporate Bonds5.50 %12/1/20346,165
APPLOVIN CORPCorporate Bonds5.95 %12/1/20549,904
AS MILEAGE PLAN IP LTDCorporate Bonds5.31 %10/20/20312,018
AT&T INCCorporate Bonds3.50 %2/1/20615,102
AT&T INCCorporate Bonds3.50 %9/15/20539,369
AT&T INCCorporate Bonds3.55 %9/15/205533,948
AT&T INCCorporate Bonds3.65 %9/15/205991,005
AT&T INCCorporate Bonds3.80 %12/1/205724,762
AT&T INCCorporate Bonds3.85 %6/1/206026,071
AT&T INCCorporate Bonds4.50 %3/9/204814,862
AT&T INCCorporate Bonds5.15 %2/15/205010,766
AT&T INCCorporate Bonds5.65 %2/15/20478,047
AT&T INCCorporate Bonds5.70 %3/1/205716,291
AT&T INCCorporate Bonds6.05 %8/15/205621,123
BANK OF AMERICA CORPORATIONCorporate Bonds2.97 %2/4/203337,495
S-4



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
BANK OF AMERICA CORPORATIONCorporate Bonds2.97 %7/21/205226,865
BANK OF AMERICA CORPORATIONCorporate Bonds3.71 %4/24/202814,932
BANK OF AMERICA CORPORATIONCorporate Bonds5.16 %1/24/203120,647
BANK OF AMERICA CORPORATIONCorporate Bonds5.20 %4/25/202932,819
BAT CAPITAL CORPCorporate Bonds4.54 %8/15/204718,250
BAT CAPITAL CORPCorporate Bonds4.63 %3/22/203314,914
BAT CAPITAL CORPCorporate Bonds5.28 %4/2/205021,642
BAT CAPITAL CORPCorporate Bonds7.08 %8/2/205320,408
BEIGNET INVESTOR LLCCorporate Bonds6.58 %5/30/2049111,988
BP CAP MARKETS AMERICA INCCorporate Bonds3.38 %2/8/206118,278
BROADCOM INCCorporate Bonds3.42 %4/15/20338,331
BROADCOM INCCorporate Bonds3.47 %4/15/203411,854
BROADCOM INCCorporate Bonds4.30 %11/15/203212,823
BROADCOM INCCorporate Bonds4.90 %2/15/203814,705
BROADCOM INCCorporate Bonds5.05 %7/12/202922,651
BROADCOM INCCorporate Bonds5.15 %11/15/203135,273
CAMERON LNG LLCCorporate Bonds3.40 %1/15/203845,140
CAPITAL ONE FIN CORPCorporate Bonds6.18 %1/30/20365,219
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds3.85 %4/1/206119,069
S-5



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds3.95 %6/30/206286,047
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds3.70 %4/1/20511,259
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds3.90 %6/1/205221,944
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds4.40 %12/1/20618,502
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds3.50 %3/1/20421,387
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds4.80 %3/1/20503,005
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds5.25 %4/1/20532,372
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds5.75 %4/1/20482,559
CHARTER COMMUNICATIONS OPERATING LLC / CHCorporate Bonds6.55 %6/1/203418,932
CHENIERE ENERGY INCCorporate Bonds5.65 %4/15/203425,934
CHENIERE ENERGY PARTNERS LPCorporate Bonds4.50 %10/1/20299,019
CHENIERE ENERGY PARTNERS LPCorporate Bonds4.00 %3/1/203117,528
CHENIERE ENERGY PARTNERS LPCorporate Bonds5.95 %6/30/203318,026
CITIGROUP INCCorporate Bonds2.56 %5/1/203214,520
CITIGROUP INCCorporate Bonds2.57 %6/3/20317,412
CITIGROUP INCCorporate Bonds3.79 %3/17/203312,395
CITIGROUP INCCorporate Bonds4.50 %9/11/203120,062
CITIGROUP INCCorporate Bonds4.64 %5/7/202835,284
CITIGROUP INCCorporate Bonds5.17 %2/13/203015,392
S-6



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
CITIGROUP INCCorporate Bonds5.45 %6/11/203527,961
COMMONSPIRIT HEALTHCorporate Bonds2.78 %10/1/203023,265
COMMONSPIRIT HEALTHCorporate Bonds3.82 %10/1/20497,487
COREWELL HEALTH OBLIGATED GROUPCorporate Bonds3.49 %7/15/204928,694
CROWN CASTLE INCCorporate Bonds2.10 %4/1/203121,181
DELLCorporate Bonds4.50 %2/15/203131,954
DEVON ENERGY CORP NEWCorporate Bonds4.50 %1/15/203024,068
DIAMONDBACK ENERGY INCCorporate Bonds3.13 %3/24/2031170,063
DIAMONDBACK ENERGY INCCorporate Bonds3.50 %12/1/2029284,233
DOMINION ENERGY INCCorporate Bonds4.60 %3/15/20494,998
DOMINION ENERGY INCCorporate Bonds5.45 %3/15/203520,489
DOMINION ENERGY INCCorporate Bonds6.63 %5/15/205510,305
DOMINION ENERGY INCCorporate Bonds7.00 %6/1/20543,248
DOMINION ENERGY SOUTH CAROLINA INCCorporate Bonds6.25 %10/15/20534,303
DUKE ENERGY CAROLINAS LLCCorporate Bonds3.20 %8/15/204912,295
DUKE ENERGY CAROLINAS LLCCorporate Bonds3.45 %4/15/20514,964
DUKE ENERGY CAROLINAS LLCCorporate Bonds3.55 %3/15/20524,311
DUKE ENERGY CAROLINAS LLCCorporate Bonds3.70 %12/1/20475,285
DUKE ENERGY CAROLINAS LLCCorporate Bonds3.95 %3/15/20485,544
S-7



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
DUKE ENERGY CAROLINAS LLCCorporate Bonds4.85 %1/15/203419,233
DUKE ENERGY CAROLINAS LLCCorporate Bonds5.35 %1/15/20531,919
DUKE ENERGY CORP NEWCorporate Bonds3.95 %8/15/204715,402
DUKE ENERGY CORP NEWCorporate Bonds5.80 %6/15/20547,910
DUKE ENERGY CORP NEWCorporate Bonds5.00 %8/15/205220,305
DUKE ENERGY FLORIDA LLCCorporate Bonds3.40 %10/1/20466,565
DUKE ENERGY FLORIDA LLCCorporate Bonds4.20 %7/15/20486,502
DUKE ENERGY PROGRESS LLCCorporate Bonds2.90 %8/15/205120,766
DUKE ENERGY PROGRESS LLCCorporate Bonds4.10 %5/15/20425,951
DUKE ENERGY PROGRESS LLCCorporate Bonds4.00 %4/1/20527,752
DUKE ENERGY PROGRESS LLCCorporate Bonds5.05 %3/15/203510,168
DUKE ENERGY PROGRESS LLCCorporate Bonds6.30 %4/1/20384,436
EASTERN ENERGY GAS HOLDINGS LLCCorporate Bonds5.65 %10/15/20544,837
ELEVANCE HEALTH INCCorporate Bonds3.60 %3/15/20513,560
ELEVANCE HEALTH INCCorporate Bonds4.55 %3/1/2048850
ELI LILLY & COCorporate Bonds5.20 %8/14/20644,705
ENERGY TRANSFER LPCorporate Bonds5.95 %5/15/205410,424
ENERGY TRANSFER LPCorporate Bonds5.00 %5/15/205028,446
ENERGY TRANSFER LPCorporate Bonds6.25 %4/15/20494,949
S-8



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
ENERGY TRANSFER LPCorporate Bonds8.25 %11/15/202942,822
ENTERGY MISSISSIPPI LLCCorporate Bonds5.80 %4/15/20552,012
EQT CORPCorporate Bonds3.90 %10/1/202731,854
EQT CORPCorporate Bonds4.50 %1/15/202934,080
EQT CORPCorporate Bonds4.75 %1/15/203115,098
EQT CORPCorporate Bonds5.00 %1/15/20292,026
EQT CORPCorporate Bonds6.50 %7/1/202720,386
EQT CORPCorporate Bonds7.50 %6/1/203012,100
EQT CORP STEPCorporate BondsVAR2/1/20304,345
EQUINIX INCCorporate Bonds2.50 %5/15/203155,204
EXPAND ENERGY CORPCorporate Bonds5.38 %3/15/203010,136
EXXON MOBIL CORPCorporate Bonds3.45 %4/15/20517,888
EXXON MOBIL CORPCorporate Bonds3.57 %3/6/20455,478
EXXON MOBIL CORPCorporate Bonds4.33 %3/19/205013,411
FIRSTENERGY CORPCorporate Bonds2.65 %3/1/20301,865
FIRSTENERGY CORPCorporate Bonds3.40 %3/1/205015,864
FIRSTENERGY CORP STEPCorporate BondsVAR7/15/204713,205
FIRSTENERGY TRANSMISSION LLCCorporate Bonds4.55 %4/1/204921,236
FIRSTENERGY TRANSMISSION LLCCorporate Bonds4.75 %1/15/203324,992
S-9



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FIRSTENERGY TRANSMISSION LLCCorporate Bonds5.00 %1/15/203556,111
FLORIDA PWR & LT COCorporate Bonds3.15 %10/1/204911,642
FLORIDA PWR & LT COCorporate Bonds3.70 %12/1/20475,383
FLORIDA PWR & LT COCorporate Bonds3.99 %3/1/204918,256
FLORIDA PWR & LT COCorporate Bonds4.13 %6/1/204810,594
FRANCISCAN MISSIONARIES OF OUR LADY HEALTCorporate BondsVAR7/1/204922,792
GATX CORPCorporate Bonds6.05 %6/5/20543,037
GENERAL MOTORS COCorporate Bonds5.35 %4/15/202825,609
GEORGIA POWER COCorporate Bonds4.95 %5/17/203335,685
GLP CAP LPCorporate Bonds3.25 %1/15/203248,857
GLP CAP LPCorporate Bonds4.00 %1/15/20317,663
GLP CAP LPCorporate Bonds4.00 %1/15/203039,859
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds2.91 %7/21/20421,467
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds3.10 %2/24/20339,212
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds3.21 %4/22/20424,636
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds3.80 %3/15/203029,526
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds4.41 %4/23/203910,163
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds4.69 %10/23/20305,068
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds4.94 %4/23/202865,742
S-10



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds5.05 %7/23/2030129,101
GOLDMAN SACHS GROUP INC (THE)Corporate Bonds5.33 %7/23/203569,867
HCA INCCorporate Bonds3.50 %7/15/205149,480
HCA INCCorporate Bonds3.50 %9/1/203043,275
HCA INCCorporate Bonds4.60 %11/15/203239,638
HOAG MEMORIAL HOSPITAL PRESBYTERIANCorporate Bonds3.80 %7/15/20525,302
HOME DEPOT INCCorporate Bonds5.40 %6/25/20644,778
JOHNSONVILLE AERODERIVATIVE COMBUSTION TUCorporate Bonds5.08 %10/1/205410,435
JPMORGAN CHASE & COCorporate Bonds1.95 %2/4/203295,412
JPMORGAN CHASE & COCorporate Bonds3.11 %4/22/20514,075
JPMORGAN CHASE & COCorporate Bonds3.33 %4/22/20527,089
JPMORGAN CHASE & COCorporate Bonds5.00 %7/22/2030248,446
JPMORGAN CHASE & COCorporate Bonds5.14 %1/24/203115,504
JPMORGAN CHASE & COCorporate Bonds5.29 %7/22/203515,475
KINDER MORGAN INC DELCorporate Bonds5.30 %12/1/20348,155
KLA CORPCorporate Bonds5.25 %7/15/206216,707
L3HARRIS TECHNOLOGIES INCCorporate Bonds5.60 %7/31/20532,976
LOCKHEED MARTIN CORPCorporate Bonds3.80 %3/1/20454,010
MARSH & MCLENNAN COS INCCorporate Bonds5.45 %3/15/205417,431
S-11



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
MASSACHUSETTS INSTITUTE OF TECHNOLOGYCorporate Bonds4.68 %7/1/211462,076
MASSACHUSETTS INSTITUTE OF TECHNOLOGYCorporate Bonds5.62 %6/1/20555,131
META PLATFORMS INCCorporate Bonds4.65 %8/15/206224,233
META PLATFORMS INCCorporate Bonds5.55 %8/15/206455,656
META PLATFORMS INCCorporate Bonds5.75 %5/15/206374,911
MICROSOFT CORPCorporate Bonds2.92 %3/17/205218,996
MIDAMERICAN ENERGY COCorporate Bonds3.95 %8/1/204711,874
MIDAMERICAN ENERGY COCorporate Bonds5.30 %2/1/205551,163
MORGAN STANLEYCorporate Bonds1.79 %2/13/203272,017
MORGAN STANLEYCorporate Bonds2.51 %10/20/203234,977
MORGAN STANLEYCorporate Bonds2.94 %1/21/20339,127
MORGAN STANLEYCorporate Bonds4.13 %10/18/202929,990
MORGAN STANLEYCorporate Bonds5.04 %7/19/2030349,623
MORGAN STANLEYCorporate Bonds5.32 %7/19/2035103,970
MORGAN STANLEYCorporate Bonds6.41 %11/1/20299,539
MOUNT NITTANY MEDICAL CENTER OBLIGATED GRCorporate Bonds3.80 %11/15/205212,643
NEXTERA ENERGY CAP HLDGS INCCorporate Bonds4.69 %9/1/202715,178
NISOURCE INCCorporate Bonds1.70 %2/15/20314,388
NISOURCE INCCorporate Bonds3.60 %5/1/20306,801
S-12



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
NISOURCE INCCorporate Bonds5.25 %3/30/202817,429
NNN REIT INCCorporate Bonds3.10 %4/15/205012,932
NORTHERN STATES POWER CO (MN)Corporate Bonds2.60 %6/1/20513,054
NORTHERN STATES POWER CO (MN)Corporate Bonds2.90 %3/1/20502,622
NORTHROP GRUMMAN CORPCorporate Bonds4.03 %10/15/204718,475
NORTHWEST FLA TIMBER FIN LLCCorporate Bonds4.75 %3/4/202997,345
OHIO EDISON COCorporate Bonds4.95 %12/15/202915,339
OHIO POWER COCorporate Bonds4.00 %6/1/204910,756
ONE GAS INCCorporate Bonds2.00 %5/15/20307,318
ONEOK INCCorporate Bonds5.65 %9/1/20342,067
ORACLE CORPCorporate Bonds3.60 %4/1/20509,344
ORACLE CORPCorporate Bonds3.85 %4/1/206012,832
ORACLE CORPCorporate Bonds3.95 %3/25/20515,922
ORACLE CORPCorporate Bonds4.38 %5/15/205511,741
ORACLE CORPCorporate Bonds5.95 %9/26/205550,503
ORACLE CORPCorporate Bonds6.10 %9/26/20657,056
ORACLE CORPCorporate Bonds6.13 %8/3/20657,970
ORACLE CORPCorporate Bonds6.90 %11/9/20521,976
PACIFIC GAS & ELECTRIC COCorporate Bonds3.50 %8/1/205015,509
S-13



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
PACIFIC GAS & ELECTRIC COCorporate Bonds3.75 %8/15/20421,513
PACIFIC GAS & ELECTRIC COCorporate Bonds4.50 %7/1/20404,357
PACIFIC GAS & ELECTRIC COCorporate Bonds4.95 %7/1/205010,988
PACIFIC GAS & ELECTRIC COCorporate Bonds5.25 %3/1/20521,744
PACIFIC GAS & ELECTRIC COCorporate Bonds5.80 %5/15/203435,311
PACIFIC GAS & ELECTRIC COCorporate Bonds5.90 %10/1/20549,584
PACIFIC GAS & ELECTRIC COCorporate Bonds6.10 %10/15/205533,367
PACIFIC GAS & ELECTRIC COCorporate Bonds6.15 %1/15/20338,489
PACIFIC GAS & ELECTRIC COCorporate Bonds6.95 %3/15/203411,121
PARAMOUNT GLOBALCorporate Bonds4.90 %8/15/20443,588
PARAMOUNT GLOBALCorporate Bonds5.25 %4/1/20445,284
PAYCHEX INCCorporate Bonds5.60 %4/15/203515,709
PECO ENERGY COMPANYCorporate Bonds3.05 %3/15/205111,088
PECO ENERGY COMPANYCorporate Bonds3.00 %9/15/20493,938
PORSCHE FINL AUTO SECURITIZATION TR 2023Corporate Bonds4.13 %12/15/20469,075
PFIZER INCCorporate Bonds4.20 %9/15/204812,345
PIEDMONT NATURAL GAS COCorporate Bonds2.50 %3/15/203110,008
PINNACLE WEST CAPITAL CORPCorporate Bonds5.15 %5/15/203010,304
PPL CAP FDG INCCorporate Bonds5.25 %9/1/20343,072
S-14



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
PUBLIC SERVICE ELECTRIC AND GAS COCorporate Bonds2.05 %8/1/20507,019
PUBLIC SERVICE ELECTRIC AND GAS COCorporate Bonds3.15 %1/1/20502,041
ROYAL CARIBBEAN CRUISES LTDCorporate Bonds5.38 %1/15/203610,042
RTX CORPCorporate Bonds2.82 %9/1/20516,237
RTX CORPCorporate Bonds3.75 %11/1/204616,273
RTX CORPCorporate Bonds4.20 %12/15/204424,823
RTX CORPCorporate Bonds6.10 %3/15/203419,694
SABINE PASS LIQUEFACTION LLCCorporate Bonds5.90 %9/15/203710,215
SHIRE ACQ INV IRELAND DACorporate Bonds3.20 %9/23/20262,982
SOUTHERN CALIFORNIA EDISON COCorporate Bonds4.88 %3/1/20495,031
SOUTHERN CALIFORNIA EDISON COCorporate Bonds5.45 %6/1/20525,390
SOUTHERN CALIFORNIA EDISON COCorporate Bonds5.70 %3/1/20534,640
SOUTHERN COMPANYCorporate Bonds4.85 %3/15/203535,557
SPIRE MISSOURI INCCorporate Bonds4.80 %2/15/20334,023
STORE CAPITAL LLCCorporate Bonds5.40 %4/30/203014,261
SYNCHRONY FINANCIALCorporate Bonds2.88 %10/28/20311,794
SYNCHRONY FINANCIALCorporate Bonds3.95 %12/1/20279,952
SYNCHRONY FINANCIALCorporate Bonds5.15 %3/19/202916,215
SYNCHRONY FINANCIALCorporate Bonds5.45 %3/6/20319,228
S-15



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
SYNCHRONY FINANCIALCorporate Bonds5.94 %8/2/203015,633
T-MOBILE USA INCCorporate Bonds5.13 %5/15/20326,174
T-MOBILE USA INCCorporate Bonds5.20 %1/15/203334,061
T-MOBILE USA INCCorporate Bonds5.80 %9/15/20629,843
TARGA RES CORPCorporate Bonds6.15 %3/1/20295,264
TARGA RES PCorporate Bonds4.88 %2/1/203136,220
TEXAS INSTRUMENTS INCCorporate Bonds5.05 %5/18/20638,045
TEXAS INSTRUMENTS INCCorporate Bonds5.15 %2/8/20544,712
TEXTRON INCCorporate Bonds3.90 %9/17/20293,937
TOYOTA MOTOR CREDIT CORPCorporate Bonds4.55 %8/9/202926,422
UBER TECHNOLOGIES INCCorporate Bonds5.35 %9/15/20549,537
UNION PACIFIC CORPCorporate Bonds3.35 %8/15/20463,629
UNION PACIFIC CORPCorporate Bonds4.50 %9/10/204812,866
UNION PACIFIC CORPCorporate Bonds4.00 %4/15/20474,004
UNITED AIRLINES 2019-1 CLASS AA PASS THROCorporate Bonds4.15 %2/25/203318,689
UNITED AIRLINES 2024-1 CLASS A PASS THROUCorporate Bonds5.88 %8/15/2038357
VERIZON COMMUNICATIONS INCCorporate Bonds4.40 %11/1/203423,156
VERIZON COMMUNICATIONS INCCorporate Bonds4.50 %8/10/20339,842
VERIZON COMMUNICATIONS INCCorporate Bonds5.88 %11/30/205525,688
S-16



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
VERIZON COMMUNICATIONS INCCorporate Bonds6.00 %11/30/206520,726
VICI PROPERTIES LP / VICI NOTE CO INCCorporate Bonds5.75 %2/1/202779,887
VIPER ENERGY PARTNERS LLCCorporate Bonds4.90 %8/1/203010,115
VIPER ENERGY PARTNERS LLCCorporate Bonds5.70 %8/1/203510,206
VIRGINIA ELECTRIC AND POWER COCorporate Bonds2.95 %11/15/20512,516
VIRGINIA ELECTRIC AND POWER COCorporate Bonds3.80 %9/15/20473,827
VIRGINIA ELECTRIC AND POWER COCorporate Bonds4.60 %12/1/20484,292
VIRGINIA ELECTRIC AND POWER COCorporate Bonds5.70 %8/15/20533,939
VISTRA OPERATIONS CO LLCCorporate Bonds4.60 %10/15/20309,996
VISTRA OPERATIONS CO LLCCorporate Bonds5.70 %12/30/203410,322
VISTRA OPERATIONS CO LLCCorporate Bonds6.95 %10/15/203346,802
VISTRA OPERATIONS CO LLCCorporate Bonds6.00 %4/15/203411,576
WARNERMEDIA HOLDINGS INCCorporate Bonds3.76 %3/15/202758,603
WELLS FARGO & CO NEWCorporate Bonds3.07 %4/30/20412,327
WELLS FARGO & CO NEWCorporate Bonds4.61 %4/25/205312,047
WELLS FARGO & CO NEWCorporate Bonds5.01 %4/4/205117,363
WELLS FARGO & CO NEWCorporate Bonds5.24 %1/24/203115,533
WILLIAMS COS INCCorporate Bonds5.80 %11/15/205419,758
WISCONSIN ELEC PWR COCorporate Bonds5.05 %10/1/20549,199
S-17



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
Total Corporate Bonds6,329,051
FEDERAL FARM CREDIT BANKSU.S. Government Agencies2.10 %2/25/203656,374
FEDERAL FARM CREDIT BANKSU.S. Government Agencies3.50 %9/1/203229,125
FEDERAL FARM CREDIT BANKSU.S. Government Agencies3.88 %9/20/203244,581
FEDERAL HOME LOAN BANKSU.S. Government Agencies1.57 %6/30/2032389,396
FEDERAL HOME LOAN BANKSU.S. Government Agencies1.85 %1/25/203658,034
FEDERAL HOME LOAN BANKSU.S. Government Agencies1.87 %2/8/203659,062
FEDERAL HOME LOAN BANKSU.S. Government Agencies2.00 %2/26/203619,535
GNII U.S. Government Agencies6.50 %11/20/20381,382
GNII II U.S. Government Agencies4.00 %9/20/20401,110
GNII II U.S. Government Agencies4.00 %10/20/20401,251
GNII II U.S. Government Agencies4.50 %1/20/20401,290
GNII II U.S. Government Agencies4.50 %2/20/20401,082
GNII II U.S. Government Agencies4.50 %5/20/204068
GNII II U.S. Government Agencies4.50 %7/20/204142,485
GNII II U.S. Government Agencies4.50 %8/20/20402,331
GNII II U.S. Government Agencies4.50 %12/20/20391,082
GNII II U.S. Government Agencies5.00 %4/20/20413,191
S-18



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
GNII II U.S. Government Agencies5.00 %5/20/2041846
GNII II U.S. Government Agencies5.00 %6/20/20415,259
GNII II U.S. Government Agencies5.00 %7/20/20414,744
GNII II U.S. Government Agencies5.00 %10/20/203936,248
GNII IIU.S. Government Agencies2.50 %7/20/2051112,112
GNII IIU.S. Government Agencies2.00 %10/20/2050224,019
GNII IIU.S. Government Agencies3.00 %7/20/2045143,358
GNII IIU.S. Government Agencies3.00 %9/20/204588,604
GNII IIU.S. Government Agencies3.50 %8/20/2045135,628
GNII IIU.S. Government Agencies3.50 %10/20/204524,700
GNII IIU.S. Government Agencies4.00 %2/20/2044125,741
GNII IIU.S. Government Agencies4.00 %1/20/20419,137
GNII IIU.S. Government Agencies4.00 %12/20/204013,322
GNII IIU.S. Government Agencies4.00 %9/20/204874,076
GNII IIU.S. Government Agencies5.50 %9/20/2053180,411
GNII IIU.S. Government Agencies6.50 %5/20/205438,029
GNII IIU.S. Government Agencies6.50 %8/20/20383,759
GNII IIU.S. Government Agencies6.00 %5/20/205493,316
RESOLUTION FUNDING CORP PRIN STRIPU.S. Government AgenciesVAR4/15/203012,698
S-19



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
Total U.S. Government Agencies2,037,386
OK ST DFAState and Local Obligations4.62 %6/1/204414,463
UNIV CAL REVState and Local Obligations2.65 %5/15/205013,035
Total State and Local Obligations27,498
FANNIEMAE-ACES 22-M8 A2 VARAgency Mortgage Backed SecuritiesVAR12/25/203152,578
FEDERAL HOME LN MTG MLT CTF GTAgency Mortgage Backed SecuritiesVAR8/25/205057,119
FEDERAL HOME LN MTG MLT CTF GTAgency Mortgage Backed Securities1.36 %12/25/202913,666
FEDERAL HOME LN MTG MLT CTF GTAgency Mortgage Backed Securities2.59 %1/25/203268,713
FEDERAL HOME LN MTG MLT CTF GTAgency Mortgage Backed Securities3.50 %7/25/203256,503
FEDERAL HOME LN MTG MLT CTF GTAgency Mortgage Backed Securities3.78 %11/25/203238,856
FEDERAL HOME LN MTG MLT CTF GT VARAgency Mortgage Backed Securities1.01 %10/25/203018,849
FHLG Agency Mortgage Backed Securities5.00 %7/1/203516,430
FHLG Agency Mortgage Backed Securities5.00 %7/1/203512,862
FHLG 10YRAgency Mortgage Backed Securities1.50 %5/1/2031115,952
FHLG 10YRAgency Mortgage Backed Securities1.50 %6/1/203117,142
FHLG 15YRAgency Mortgage Backed Securities2.50 %3/1/20306,050
FHLG 15YRAgency Mortgage Backed Securities2.50 %5/1/20306,296
S-20



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FHLG 15YRAgency Mortgage Backed Securities2.50 %7/1/20302,660
FHLG 15YRAgency Mortgage Backed Securities2.50 %7/1/20301,991
FHLG 15YRAgency Mortgage Backed Securities2.50 %7/1/2030442
FHLG 15YRAgency Mortgage Backed Securities2.50 %7/1/2030607
FHLG 15YRAgency Mortgage Backed Securities2.50 %8/1/20308,576
FHLG 15YRAgency Mortgage Backed Securities2.50 %9/1/20308,555
FHLG 15YRAgency Mortgage Backed Securities3.00 %1/1/20302,610
FHLG 15YRAgency Mortgage Backed Securities3.00 %1/1/20303,452
FHLG 15YRAgency Mortgage Backed Securities3.00 %8/1/20302,129
FHLG 15YRAgency Mortgage Backed Securities3.00 %8/1/20301,429
FHLG 15YRAgency Mortgage Backed Securities3.00 %7/1/20301,288
FHLG 30YRAgency Mortgage Backed Securities2.50 %10/1/2051177,625
FHLG 30YRAgency Mortgage Backed Securities2.50 %12/1/2051177,418
FHLG 30YRAgency Mortgage Backed Securities3.00 %3/1/204312,323
FHLG 30YRAgency Mortgage Backed Securities3.00 %3/1/204321,726
FHLG 30YRAgency Mortgage Backed Securities3.00 %3/1/204314,953
FHLG 30YRAgency Mortgage Backed Securities3.00 %8/1/204381,271
FHLG 30YRAgency Mortgage Backed Securities3.50 %7/1/204322,466
FHLG 30YRAgency Mortgage Backed Securities3.50 %7/1/204784,728
S-21



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FHLG 30YRAgency Mortgage Backed Securities3.50 %8/1/2049134,369
FHLG 30YRAgency Mortgage Backed Securities3.50 %9/1/20453,146
FHLG 30YRAgency Mortgage Backed Securities3.50 %9/1/2052164,840
FHLG 30YRAgency Mortgage Backed Securities4.00 %10/1/204520,412
FHLG 30YRAgency Mortgage Backed Securities4.50 %2/1/20447,210
FHLG 30YRAgency Mortgage Backed Securities4.50 %5/1/20416,210
FHLG 30YRAgency Mortgage Backed Securities4.50 %5/1/20415,736
FHLG 30YRAgency Mortgage Backed Securities4.50 %7/1/20444,477
FHLG 30YRAgency Mortgage Backed Securities4.50 %9/1/204426,342
FHLG 30YRAgency Mortgage Backed Securities4.50 %10/1/20441,245
FHLG 30YRAgency Mortgage Backed Securities4.50 %12/1/20393,735
FHLG 30YRAgency Mortgage Backed Securities4.50 %12/1/204312,868
FHLG 30YRAgency Mortgage Backed Securities4.00 %2/1/2045182,645
FHLG 30YRAgency Mortgage Backed Securities4.00 %3/1/204184,174
FHLG 30YRAgency Mortgage Backed Securities5.00 %11/1/204127,509
FHLG 30YRAgency Mortgage Backed Securities5.00 %10/1/204110,442
FHLG 30YRAgency Mortgage Backed Securities5.50 %1/1/203814,921
FHLG 30YRAgency Mortgage Backed Securities5.50 %6/1/20416,262
FHLG 30YRAgency Mortgage Backed Securities5.50 %9/1/203827,828
S-22



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FHLG 30YRAgency Mortgage Backed Securities5.00 %4/1/205355,700
FHLG 30YRAgency Mortgage Backed Securities6.00 %4/1/203910,660
FHLGAgency Mortgage Backed Securities4.50 %7/1/204521,473
FNMA Agency Mortgage Backed Securities4.50 %7/1/20401,754
FNMA Agency Mortgage Backed Securities4.50 %7/1/20404,561
FNMA Agency Mortgage Backed Securities4.50 %8/1/204017,343
FNMA Agency Mortgage Backed Securities4.50 %9/1/20425,390
FNMA Agency Mortgage Backed Securities5.50 %1/1/203312,169
FNMA Agency Mortgage Backed Securities5.50 %1/1/20339,816
FNMA Agency Mortgage Backed Securities5.50 %2/1/2035642
FNMA Agency Mortgage Backed Securities5.50 %7/1/20335,501
FNMA Agency Mortgage Backed Securities5.50 %9/1/203623,985
FNMA Agency Mortgage Backed Securities6.00 %3/1/20382,034
FNMA Agency Mortgage Backed Securities6.00 %5/1/20383,896
FNMA Agency Mortgage Backed Securities6.00 %10/1/20382,784
FNMA 10YRAgency Mortgage Backed Securities1.50 %6/1/203128,574
FNMA 10YRAgency Mortgage Backed Securities1.50 %7/1/203152,519
FNMA 15YRAgency Mortgage Backed Securities1.50 %5/1/2037144,103
FNMA 15YRAgency Mortgage Backed Securities1.50 %9/1/2036313,735
S-23



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FNMA 15YRAgency Mortgage Backed Securities2.50 %2/1/20282,432
FNMA 15YRAgency Mortgage Backed Securities2.50 %4/1/20304,517
FNMA 15YRAgency Mortgage Backed Securities2.50 %5/1/20302,128
FNMA 15YRAgency Mortgage Backed Securities2.50 %6/1/20305,896
FNMA 15YRAgency Mortgage Backed Securities2.50 %6/1/20304,029
FNMA 15YRAgency Mortgage Backed Securities2.50 %7/1/20303,038
FNMA 15YRAgency Mortgage Backed Securities2.50 %8/1/20304,796
FNMA 15YRAgency Mortgage Backed Securities2.50 %8/1/20304,979
FNMA 15YRAgency Mortgage Backed Securities2.50 %8/1/20305,125
FNMA 15YRAgency Mortgage Backed Securities2.50 %8/1/20305,527
FNMA 15YRAgency Mortgage Backed Securities2.50 %9/1/20306,674
FNMA 15YRAgency Mortgage Backed Securities2.50 %9/1/20308,795
FNMA 15YRAgency Mortgage Backed Securities2.00 %7/1/203616,038
FNMA 15YRAgency Mortgage Backed Securities3.00 %7/1/20301,160
FNMA 15YRAgency Mortgage Backed Securities3.00 %7/1/20306,414
FNMA 15YRAgency Mortgage Backed Securities3.00 %8/1/20301,333
FNMA 15YRAgency Mortgage Backed Securities3.00 %8/1/2030483
FNMA 15YRAgency Mortgage Backed Securities3.00 %9/1/20296,092
FNMA 15YRAgency Mortgage Backed Securities3.00 %9/1/20295,517
S-24



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FNMA 15YRAgency Mortgage Backed Securities3.00 %9/1/20302,917
FNMA 15YRAgency Mortgage Backed Securities3.00 %9/1/20307,039
FNMA 15YRAgency Mortgage Backed Securities3.50 %2/1/20294,756
FNMA 15YRAgency Mortgage Backed Securities3.50 %7/1/20262,462
FNMA 15YRAgency Mortgage Backed Securities3.50 %8/1/202918,439
FNMA 15YRAgency Mortgage Backed Securities3.50 %8/1/20306,264
FNMA 15YRAgency Mortgage Backed Securities3.00 %4/1/20295,576
FNMA 15YRAgency Mortgage Backed Securities3.00 %8/1/20301,342
FNMA 15YRAgency Mortgage Backed Securities3.00 %5/1/20303,895
FNMA 15YRAgency Mortgage Backed Securities3.00 %7/1/20301,902
FNMA 15YRAgency Mortgage Backed Securities4.00 %5/1/202758
FNMA 15YRAgency Mortgage Backed Securities4.00 %12/1/2026211
FNMA 15YRAgency Mortgage Backed Securities4.00 %9/1/2026507
FNMAAgency Mortgage Backed Securities3.00 %4/1/204318,638
FNMAAgency Mortgage Backed Securities3.00 %5/1/204327,852
FNMAAgency Mortgage Backed Securities3.00 %6/1/204332,793
FNMAAgency Mortgage Backed Securities3.00 %3/1/204310,644
FNMA 30YRAgency Mortgage Backed Securities1.50 %8/1/2051191,511
FNMA 30YRAgency Mortgage Backed Securities2.50 %8/1/2051140,702
S-25



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FNMA 30YRAgency Mortgage Backed Securities2.50 %11/1/2051146,107
FNMA 30YRAgency Mortgage Backed Securities2.50 %12/1/2050235,999
FNMA 30YRAgency Mortgage Backed Securities2.00 %1/1/2052282,511
FNMA 30YRAgency Mortgage Backed Securities2.00 %8/1/2051171,389
FNMA 30YRAgency Mortgage Backed Securities2.00 %8/1/2051371,239
FNMA 30YRAgency Mortgage Backed Securities2.00 %9/1/2051222,394
FNMA 30YRAgency Mortgage Backed Securities2.00 %11/1/2051243,480
FNMA 30YRAgency Mortgage Backed Securities3.00 %1/1/204316,620
FNMA 30YRAgency Mortgage Backed Securities3.00 %1/1/204320,361
FNMA 30YRAgency Mortgage Backed Securities3.00 %3/1/204323,758
FNMA 30YRAgency Mortgage Backed Securities3.00 %3/1/20435,991
FNMA 30YRAgency Mortgage Backed Securities3.00 %3/1/204315,324
FNMA 30YRAgency Mortgage Backed Securities3.00 %3/1/204315,189
FNMA 30YRAgency Mortgage Backed Securities3.00 %4/1/204319,414
FNMA 30YRAgency Mortgage Backed Securities3.00 %4/1/204319,624
FNMA 30YRAgency Mortgage Backed Securities3.00 %12/1/204215,932
FNMA 30YRAgency Mortgage Backed Securities3.00 %12/1/204213,329
FNMA 30YRAgency Mortgage Backed Securities3.50 %4/1/204834,711
FNMA 30YRAgency Mortgage Backed Securities3.00 %2/1/204336,164
S-26



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FNMA 30YRAgency Mortgage Backed Securities3.00 %9/1/20464,430
FNMA 30YRAgency Mortgage Backed Securities3.00 %10/1/204694,730
FNMA 30YRAgency Mortgage Backed Securities3.00 %10/1/204610,063
FNMA 30YRAgency Mortgage Backed Securities3.00 %10/1/204623,572
FNMA 30YRAgency Mortgage Backed Securities3.00 %4/1/204319,093
FNMA 30YRAgency Mortgage Backed Securities4.50 %9/1/204332,150
FNMA 30YRAgency Mortgage Backed Securities4.50 %9/1/204218,388
FNMA 30YRAgency Mortgage Backed Securities4.50 %10/1/204120,252
FNMA 30YRAgency Mortgage Backed Securities4.50 %7/1/20411,268
FNMA 30YRAgency Mortgage Backed Securities4.50 %8/1/204824,437
FNMA 30YRAgency Mortgage Backed Securities4.50 %10/1/204522,634
FNMA 30YRAgency Mortgage Backed Securities4.00 %11/1/204822,304
FNMA 30YRAgency Mortgage Backed Securities5.50 %2/1/2053238,621
FNMA 30YRAgency Mortgage Backed Securities5.81 %6/1/2031104,756
FNMA 30YRAgency Mortgage Backed Securities5.00 %9/1/205285,141
FNMA 30YRAgency Mortgage Backed Securities5.00 %10/1/204837,866
FNMA 30YRAgency Mortgage Backed Securities6.00 %4/1/204017,260
FNMA 30YRAgency Mortgage Backed Securities6.00 %6/1/20417,441
FNMA 30YRAgency Mortgage Backed Securities6.00 %9/1/20401,954
S-27



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
FNMA 30YRAgency Mortgage Backed Securities6.50 %6/1/2054183,410
FNMA 30YRAgency Mortgage Backed Securities6.00 %8/1/2053229,234
FNMA 30YRAgency Mortgage Backed Securities6.00 %9/1/205424,614
FNMAAgency Mortgage Backed Securities5.50 %12/1/203214,476
FNMAAgency Mortgage Backed Securities5.50 %5/1/203311,661
FNMAAgency Mortgage Backed Securities6.50 %5/1/204015,463
GNMA Agency Mortgage Backed Securities4.50 %1/15/20402,863
GNMA Agency Mortgage Backed Securities4.50 %2/15/20412,650
GNMA Agency Mortgage Backed Securities4.50 %7/15/20404,594
GNMA Agency Mortgage Backed Securities4.50 %10/15/204014,601
GNMA Agency Mortgage Backed Securities4.50 %11/15/204111,734
GNMA Agency Mortgage Backed Securities5.00 %1/15/203915,515
GNMA Agency Mortgage Backed Securities5.00 %4/15/203912,454
GNMA Agency Mortgage Backed Securities5.00 %5/15/20405,937
GNMA Agency Mortgage Backed Securities5.00 %12/15/20334,673
GNMA Agency Mortgage Backed Securities5.50 %4/15/2033779
GNMA Agency Mortgage Backed Securities6.50 %8/15/20383,900
GNMA Agency Mortgage Backed Securities6.50 %12/15/20382,956
GNMA 30YRAgency Mortgage Backed Securities4.50 %9/15/20332,188
S-28



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
GNMA 30YRAgency Mortgage Backed Securities4.00 %3/15/20416,552
GNMA 30YRAgency Mortgage Backed Securities6.00 %2/15/202963
GNMAAgency Mortgage Backed Securities4.00 %1/15/204113,831
GNMA IIAgency Mortgage Backed Securities4.50 %6/20/20417,957
GNMA IIAgency Mortgage Backed Securities4.50 %7/20/20416,618
GNMA IIAgency Mortgage Backed Securities5.00 %11/20/205257,127
Total Agency Mortgage Backed Securities6,492,502
1345 TR 2025-AOA A TSFR1M+160Asset and Other Mortgage Backed SecuritiesVAR6/15/204220,062
1345 TR 2025-AOA B TSFR1M+200Asset and Other Mortgage Backed SecuritiesVAR6/15/204220,048
AFFIRM ASSET SECURITIZATION TR 2025-X1 AAsset and Other Mortgage Backed Securities5.08 %4/15/203035,651
AFFIRM MASTER TRUSTAsset and Other Mortgage Backed Securities4.45 %10/16/2034100,353
ALA TRUST 2025-OANA AAsset and Other Mortgage Backed Securities6.04 %6/15/204020,075
ALA TRUST 2025-OANA B TSFR1M+184.248Asset and Other Mortgage Backed SecuritiesVAR6/15/204015,037
ANGEL OAK MORTGAGE TRUST 2023-6Asset and Other Mortgage Backed Securities6.50 %12/25/206755,990
ANGEL OAK MTG TR 2025-5Asset and Other Mortgage Backed Securities5.57 %4/25/207065,488
AOA TRUST 2025-1301 AAsset and Other Mortgage Backed Securities5.23 %8/11/204215,198
ARES TR 2025-IND3 A TSFR1M+150Asset and Other Mortgage Backed SecuritiesVAR4/15/204261,038
AT&T REIGN II MULTI-PROPERTY LEASE-BACKEDAsset and Other Mortgage Backed Securities6.08 %12/15/204435,349
S-29



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
AUTONATION FINANCE TRUST 2025-1Asset and Other Mortgage Backed Securities4.62 %11/13/202910,092
BAY 2025-LIVN MORTGAGE TRUST TSFR1M+180Asset and Other Mortgage Backed SecuritiesVAR5/15/203530,021
BBCMS MORTGAGE TRUST 2023-C21Asset and Other Mortgage Backed Securities6.00 %9/15/205613,464
BBCMS MTG TR 2023-C19Asset and Other Mortgage Backed Securities5.75 %4/15/2056101,421
BBCMS MTG TR 2023-C22 A4 VARAsset and Other Mortgage Backed SecuritiesVAR11/15/205665,776
BFLD COML MTG TR 2024-UNIV A TSFR1M+149.2Asset and Other Mortgage Backed SecuritiesVAR11/15/204110,006
BFLD COML MTG TR 2024-UNIV B TSFR1M+184.2Asset and Other Mortgage Backed SecuritiesVAR11/15/204115,023
BFLD TRUST 2025-EWEST B TSFR1M+190Asset and Other Mortgage Backed SecuritiesVAR6/15/204210,000
BMO 2024-5C8 A3 MORTGAGE TRUST VARAsset and Other Mortgage Backed SecuritiesVAR12/15/205720,833
BMO 2025-5C9 AS MTG TR VARAsset and Other Mortgage Backed SecuritiesVAR4/15/205813,422
BMW VECHILE OWNER TRUST 2023-AAsset and Other Mortgage Backed Securities5.47 %2/25/202814,518
BPR TR 2024-PMDW A VARAsset and Other Mortgage Backed SecuritiesVAR11/5/204130,715
BRAVO RESIDENTIAL FDG TR 2025-NQM2 A1 VARAsset and Other Mortgage Backed SecuritiesVAR11/25/2064126,474
BROOKFIELD 2024-MF23 A TSFR1M+149.177Asset and Other Mortgage Backed SecuritiesVAR6/15/2041100,156
CAPITAL ONE MULTI-ASST EXEC TRAsset and Other Mortgage Backed Securities1.39 %7/15/203032,033
CARMAX AUTO OWNER TRUST 2024-1Asset and Other Mortgage Backed Securities4.92 %10/16/202824,348
CHASE 25-3 VARAsset and Other Mortgage Backed SecuritiesVAR2/25/205620,654
CHASE HOME LENDING MORTGAGE TRUST 2019-ATAsset and Other Mortgage Backed SecuritiesVAR7/25/204911,015
CHASE HOME LENDING MORTGAGE TRUST 2025-8Asset and Other Mortgage Backed SecuritiesVAR6/25/205630,783
S-30



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
CHASE HOME LENDING MTG TR 2025-11 A11 SOFAsset and Other Mortgage Backed SecuritiesVAR2/25/205643,490
CHESAPEAKE FUNDING II LLCAsset and Other Mortgage Backed Securities6.16 %10/15/203535,885
CIM TRUST 2019-INV3 SOFR30A+111.448Asset and Other Mortgage Backed SecuritiesVAR8/25/204931,017
COLLEGE AVE STUDENT LOANS 2021-C LLCAsset and Other Mortgage Backed Securities2.32 %7/26/205550,387
CONE TR 2024-DFW1 A TSFR1M+164.173Asset and Other Mortgage Backed SecuritiesVAR8/15/204139,938
CROSS 2025-H8 A1A MTG TRAsset and Other Mortgage Backed Securities5.00 %11/25/207096,750
DBGS 2024-SBL A TSFR1M+188.21Asset and Other Mortgage Backed SecuritiesVAR8/15/203460,000
DELL EQUIP FIN TR 2025-1Asset and Other Mortgage Backed Securities4.68 %7/22/2027100,352
EFMT 2025-INV2Asset and Other Mortgage Backed Securities5.39 %5/26/207093,653
ENTERPRISE FLEET FING 2022-3 LLCAsset and Other Mortgage Backed Securities4.29 %7/20/202950,076
ENTERPRISE FLEET FING 2023-2 LLCAsset and Other Mortgage Backed Securities5.56 %4/22/203059,612
FEDERAL NAT MTG ASN GTD REM PAAsset and Other Mortgage Backed Securities2.15 %4/25/203257,386
FEDERAL NAT MTG ASN GTD REM PAAsset and Other Mortgage Backed Securities5.50 %5/25/204522,617
FEDERAL NAT MTG ASN GTD REM PA SOFR30A+59Asset and Other Mortgage Backed Securities2.04 %12/25/2040167
FLAGSTAR MORTGAGE TRUST 2019-1 TSFR1M+106Asset and Other Mortgage Backed SecuritiesVAR10/25/204924,198
FNR 2023-36 AOAsset and Other Mortgage Backed SecuritiesVAR8/25/205054,047
FRESB 2019-SB60 MTG TR A10H CSTRAsset and Other Mortgage Backed SecuritiesVAR1/25/203957,844
GCAT 2021-NQM7 TRAsset and Other Mortgage Backed Securities1.89 %8/25/206648,986
GREATAMERICA LEASING RECEIVABLES FUNDINGAsset and Other Mortgage Backed Securities5.28 %3/15/202725,388
S-31



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
GS MTG SECS CORP TR 2024-RVR A VARAsset and Other Mortgage Backed SecuritiesVAR8/10/204160,975
HOMES 2023-NQM2 A1 TRUSTAsset and Other Mortgage Backed Securities6.46 %2/25/206864,146
HYUNDAI AUTO RECEIVABLES TRUST 2023-BAsset and Other Mortgage Backed Securities5.48 %4/17/202816,916
INV 2024-IND A TSFR1M+174.19Asset and Other Mortgage Backed SecuritiesVAR11/15/20419,925
JP MORGAN CHASE COMMERCIAL MORTGAGE SECURAsset and Other Mortgage Backed SecuritiesVAR11/9/203920,204
JP MORGAN MORTGAGE TRUST 2019-7Asset and Other Mortgage Backed Securities2.61 %2/25/20507,749
JP MORGAN MORTGAGE TRUST 2019-INV2 TSFR1MAsset and Other Mortgage Backed SecuritiesVAR2/25/205019,270
JP MORGAN MORTGAGE TRUST 2019-INV3 TSFR1MAsset and Other Mortgage Backed SecuritiesVAR5/25/205017,081
JP MORGAN MORTGAGE TRUST 2020-8 A11 VAR 0Asset and Other Mortgage Backed SecuritiesVAR3/25/205147,500
JP MORGAN MORTGAGE TRUST 2020-LTV1 TSFR1MAsset and Other Mortgage Backed SecuritiesVAR6/25/20501,002
MARINER FINANCE ISSUANCE TRUST 2021-A 1.8Asset and Other Mortgage Backed Securities6.00 %8/25/20549,533
JP MORGAN MORTGAGE TRUST 2025-VIS3Asset and Other Mortgage Backed Securities5.06 %2/25/2066148,139
MARINER FINANCE ISSUANCE TRUST 2021-AAsset and Other Mortgage Backed Securities1.86 %3/20/203698,455
MILL CITY MORTGAGE LOAN TRUST 2023-NQM2Asset and Other Mortgage Backed SecuritiesVAR12/25/206793,038
MORGAN STANLEY CAP I TR 2024-NSTB A VARAsset and Other Mortgage Backed SecuritiesVAR9/24/205718,401
MORGAN STANLEY RESIDENTIAL MTG LN TR 2025Asset and Other Mortgage Backed Securities5.56 %3/25/207095,203
MTLRF 2025-1AAsset and Other Mortgage Backed Securities4.70 %12/16/20277,034
NAVIENT PRIVATE ED LN TR 2015-AAsset and Other Mortgage Backed Securities3.50 %12/15/204498,451
NAVIENT PRIVATE ED REFI LN TR 2019-C A2 3Asset and Other Mortgage Backed Securities3.13 %2/15/206810,611
S-32



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
NAVIENT PRIVATE EDUCATION REFI LOAN TRUSTAsset and Other Mortgage Backed Securities0.97 %12/16/206938,661
NAVIENT PRIVATE EDUCATION REFI LOAN TRUSTAsset and Other Mortgage Backed Securities0.84 %5/15/206921,056
NCMF TR 2025-MFS A VARAsset and Other Mortgage Backed SecuritiesVAR6/10/203330,115
NCMF TR 2025-MFS B VARAsset and Other Mortgage Backed SecuritiesVAR6/10/203321,216
NELNET STUDENT LN TR 2025-CA A1AAsset and Other Mortgage Backed Securities4.67 %6/22/2065180,985
OBX 2021-NQM1 TR 21-J1 A1Asset and Other Mortgage Backed Securities2.50 %5/25/205157,854
PENN COMMERCIAL MORTGAGE TRUST 2025-P11 AAsset and Other Mortgage Backed SecuritiesVAR8/10/204210,252
PFS FINANCING CORP 25-B AAsset and Other Mortgage Backed Securities4.85 %2/15/2030101,808
PFS FINANCING CORPAsset and Other Mortgage Backed Securities5.34 %4/15/2029101,741
POINT BROADBAND FDG LLC 2025-1A A2Asset and Other Mortgage Backed Securities5.34 %7/20/205525,190
PORSCHE FINL AUTO SECURITIZATION TR 2023Asset and Other Mortgage Backed Securities5.79 %1/22/202943,012
PRM5 TR 2025-PRM5 VARAsset and Other Mortgage Backed SecuritiesVAR3/10/203332,993
QTS ISSUER ABS II LLCAsset and Other Mortgage Backed Securities5.04 %10/5/205539,682
SARM 04-13 2A1 TSFR1M+41.448Asset and Other Mortgage Backed SecuritiesVAR9/25/203412,231
SCLP 2025-1Asset and Other Mortgage Backed Securities4.80 %2/27/203445,428
SMB PRIVATE ED LN TR 2021-C TSFR1M+91.448Asset and Other Mortgage Backed SecuritiesVAR1/15/205350,869
SMB PRIVATE EDUCATION LOAN TRUST 2022-CAsset and Other Mortgage Backed Securities4.48 %5/16/205050,117
SOFI PERS LN TR 2024-1A AAsset and Other Mortgage Backed Securities6.06 %2/12/203125,681
SOFI PROFESSIONAL LN PROGRAM 2020-B TRAsset and Other Mortgage Backed Securities2.17 %5/15/204655,895
S-33



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
SOFI PROFESSIONAL LOAN PROGRAM 2019-B LLCAsset and Other Mortgage Backed Securities3.09 %8/17/204813,225
SOFI PROFESSIONAL LOAN PROGRAM 2020-C TRUAsset and Other Mortgage Backed Securities1.95 %2/15/204620,770
TEXAS ELECTRIC MARKET STABILIZATION FUNDIAsset and Other Mortgage Backed Securities4.27 %8/1/2036110,947
VEGAS TRUST 2024-TI AAsset and Other Mortgage Backed Securities5.52 %11/10/203920,273
WBRK 2025-WBRK A MTG TRAsset and Other Mortgage Backed Securities5.87 %3/5/203531,179
WELLS FARGO COMMERCIAL MORTGAGE TRUST 201Asset and Other Mortgage Backed SecuritiesVAR6/15/203637,572
WEST TRUST 2025-ROSE VARAsset and Other Mortgage Backed SecuritiesVAR4/10/203525,406
WESTLAKE AUTOMOBILE RECEIVABLES TRUST 202Asset and Other Mortgage Backed Securities4.58 %6/15/202918,167
Total Asset and Other Mortgage Backed Securities4,142,794
BRITISH COLUMBIA PROVINCE CDANon U.S. Government4.75 %6/12/2034102,316
MEXICO UNITED MEXICAN STATESNon U.S. Government4.50 %4/22/2029135,827
MEXICO UNITED MEXICAN STATESNon U.S. Government4.75 %3/8/204424,705
MEXICO UNITED MEXICAN STATESNon U.S. Government5.55 %1/21/204527,810
REPUBLIC OF INDONESIANon U.S. Government2.15 %7/28/203162,125
REPUBLIC OF INDONESIANon U.S. Government2.85 %2/14/2030113,520
REPUBLIC OF INDONESIANon U.S. Government4.10 %4/24/202840,065
REPUBLIC OF ROMANIA Non U.S. Government7.13 %1/17/2033108,761
Total Non-U.S. Government Funds615,129
S-34



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
AMAZON.COM INCommon Stock 2,589,339
CHIPOTLE MEXICAN GRILL INCCommon Stock 2,338,030
COSTAR GROUP INCCommon Stock 2,271,636
COUPANG INC ACommon Stock 3,278,892
DISNEY (WALT) COCommon Stock 3,179,530
DOORDASH INCCommon Stock 3,978,121
GRAB HOLDINGS LTD CL ACommon Stock 3,161,544
LIVE NATION ENTERTAINMENT INCCommon Stock 3,055,058
LUMENTUM HOLDINGS INCCommon Stock 2,904,489
MERCADOLIBRE INCCommon Stock 1,982,032
MONDAY.COM LTDCommon Stock 2,567,544
Q2 HOLDINGS INCCommon Stock 3,597,898
ROKU INC CLASS ACommon Stock 2,406,200
SHOPIFY INC CL ACommon Stock 2,400,385
TKO GROUP HOLDINGS INCCommon Stock 3,732,113
UBER TECHNOLOGIES INCCommon Stock 3,349,456
VARONIS SYSTEMS INCCommon Stock 3,184,847
WARNER BROS DISCOVERY INCCommon Stock 3,124,088
S-35



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
WINGSTOP INCCommon Stock 2,600,256
SPOTIFY TECHNOLOGY SACommon Stock 3,733,965
Total Common Stocks59,435,423
UNITED STATES TREASURY BONDU.S. Treasuries1.13 %5/15/2040317,246
UNITED STATES TREASURY BONDU.S. Treasuries1.13 %8/15/2040288,902
UNITED STATES TREASURY BONDU.S. Treasuries1.25 %5/15/2050294,383
UNITED STATES TREASURY BONDU.S. Treasuries1.38 %8/15/20509,834
UNITED STATES TREASURY BONDU.S. Treasuries2.00 %2/15/2050307,740
UNITED STATES TREASURY BONDU.S. Treasuries3.00 %11/15/204473,469
UNITED STATES TREASURY BONDU.S. Treasuries4.13 %8/15/2044894,829
UNITED STATES TREASURY BONDU.S. Treasuries4.50 %11/15/2054377
UNITED STATES TREASURY BONDU.S. Treasuries4.63 %11/15/2055191,724
UNITED STATES TREASURY BONDU.S. Treasuries4.63 %11/15/20449,799
UNITED STATES TREASURY BONDU.S. Treasuries4.75 %5/15/20551,965
UNITED STATES TREASURY BONDU.S. Treasuries4.75 %8/15/2055156,317
UNITED STATES TREASURY BONDU.S. Treasuries5.00 %5/15/204592,391
UST NOTESU.S. Treasuries3.38 %11/30/202794,818
UST NOTESU.S. Treasuries3.50 %9/30/2027903,176
S-36



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
UST NOTESU.S. Treasuries3.50 %10/15/20282,133,928
UST NOTESU.S. Treasuries3.50 %10/31/2027647,152
UST NOTESU.S. Treasuries3.63 %9/30/20301,812,962
UST NOTESU.S. Treasuries3.63 %10/31/203031,865
UST NOTESU.S. Treasuries3.75 %10/31/203275,157
UST NOTESU.S. Treasuries3.88 %8/31/2032859,744
UST NOTESU.S. Treasuries4.25 %5/15/2035351,890
UST NOTESU.S. Treasuries4.25 %8/15/2035154,100
UST NOTESU.S. Treasuries4.25 %11/15/2034291,026
UST NOTESU.S. Treasuries4.75 %2/15/204584,568
UST NOTESU.S. Treasuries4.00 %7/31/203220,105
UST NOTESU.S. Treasuries4.00 %11/15/2035295,687
Total U.S. Treasuries10,395,154
SELF DIRECTED BROKERAGEOTHER89,316,104
Assets (Held at End of Year) 2,772,011,688
* Represents Party in Interest
S-37



Schedule of Assets Held as of December 31, 2025
DXC Technology Matched Asset Plan 001
Form 5500, Schedule H, Line 4i
EIN 61-1800317
DXC Technology Company
(a)(b) Identity of issue, borrower, lessor or similar party(c) Description of investment including maturity date, rate of interest, collateral, par or maturity value (d) Cost ** (e) Current Value
**Cost information is not required for participant-directed investments and
therefore is not included.

S-38



Exhibit Index
Exhibit
Number
Description of Exhibit
23.1




E-1




Signatures


Pursuant to the requirements of the Securities Act of 1934, the DXC Technology Company Employee Benefits Fiduciary Committee has duly caused this annual report to be signed on its behalf by the undersigned thereunto duly authorized.


DXC Technology Matched Asset Plan

                        


Dated: May 21, 2026
By:/s/ Ceyhun Cetin
Name:Ceyhun Cetin
Title:Vice President and Treasurer
Chairman, DXC Technology Company
Employee Benefits Fiduciary Committee


S 1