UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
For Annual Reports of Employee Stock Purchase, Savings and Similar Plans

Pursuant to Section 15(d) of the
Securities Exchange Act of 1934
(Mark One)
{X}ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE
ACT OF 1934
For the fiscal year ended December 31, 2021
OR
{ }TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES
EXCHANGE ACT OF 1934
For the transition period from _________ to __________.
Commission file number 333-21011
A.Full title of the plan and the address of the plan, if different from that of the
issuer named below:
FIRSTENERGY CORP. SAVINGS PLAN
B.Name of issuer of the securities held pursuant to the plan and the address
of its principal executive office:
FIRSTENERGY CORP.
76 SOUTH MAIN STREET
AKRON, OH 44308




FirstEnergy Corp. Savings Plan
Table of Contents
Page
Report of Independent Registered Public Accounting Firm1-2
Financial Statements:
Statements of Net Assets Available for Benefits as of
December 31, 2021 and 20203
Statement of Changes in Net Assets Available for Benefits
for the Year Ended December 31, 20214
Notes to Financial Statements
5-11
Supplemental Schedule:
Schedule H, line 4i – Schedule of Assets (Held at End of Year)
as of December 31, 202112-33



Other schedules of additional financial information have been omitted as they are not applicable or are not required based on the disclosure requirements of the Employee Retirement Income Security Act of 1974 and applicable regulations issued by the United States Department of Labor.





REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM



To the Participants and Savings Plan Committee of the
FirstEnergy Corp. Savings Plan
Akron, Ohio

Opinion on the Financial Statements
We have audited the accompanying statements of net assets available for benefits of the FirstEnergy Corp. Savings Plan (the “Plan”) as of December 31, 2021 and 2020, the related statement of changes in net assets available for benefits for the year ended December 31, 2021, 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 benefits of the Plan as of December 31, 2021 and 2020, and the changes in net assets available for benefits for the year ended December 31, 2021, 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.


1


Supplemental Information
The supplemental information in the accompanying schedule of assets (held at end of year) as of December 31, 2021 has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental information is the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental information 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 information. In forming our opinion on the supplemental information, we evaluated whether the supplemental information, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the supplemental information is fairly stated, in all material respects, in relation to the financial statements taken as a whole.

We have served as the Plan’s auditor since 2003.


/S/ BOBER, MARKEY, FEDOROVICH & COMPANY



Cleveland, Ohio
June 24, 2022








2


FirstEnergy Corp. Savings Plan

Statements of Net Assets Available for Benefits
___________________________________________________________________________________________________________________________________________

As of December 31,
20212020
 Assets
 Investments:
 Investments, at fair value (see Note 5)$3,730,112,178 $3,260,815,194 
 Investments, at contract value (see Note 6)477,954,646 487,325,384 
        Total investments$4,208,066,824 $3,748,140,578 
 Receivables:
    Accrued interest and dividends1,504,101 1,587,077 
    Notes receivable from participants47,405,958 48,417,112 
    Due from brokers44,150,931 15,604,559 
        Total receivables93,060,990 65,608,748 
    Total assets4,301,127,814 3,813,749,326 
 Liabilities
 Administrative expenses payable1,049,105 2,160,954 
 Due to brokers95,301,277 60,272,078 
    Total liabilities96,350,382 62,433,032 
 Net assets available for benefits$4,204,777,432 $3,751,316,294 






















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

3


FirstEnergy Corp. Savings Plan

Statement of Changes in Net Assets Available for Benefits
___________________________________________________________________________________________________________________________________

For the Year Ended
December 31, 2021
Additions:
Contributions:
   Employer$42,214,443 
   Participant144,220,933 
        Total contributions186,435,376 
Investment Income:
   Interest and dividends72,409,185 
   Net change in fair value of investments532,451,446 
        Total investment income604,860,631 
Interest income on notes receivable from participants2,298,761 
Deductions:
Distributions to participants(335,160,728)
Administrative expenses(4,972,902)
   Total deductions(340,133,630)
Increase in net assets available for benefits453,461,138 
Net assets available for benefits, beginning of year3,751,316,294 
Net assets available for benefits, end of year$4,204,777,432 



















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

4






FirstEnergy Corp. Savings Plan

Notes to Financial Statements
____________________________________________________________________________________________________________________________________________________
1.Description of the Plan

The following brief description of the FirstEnergy Corp. Savings Plan (Plan) is provided for general information purposes only. Participants should refer to the Plan documents for more complete information.

General

The Plan is a defined contribution plan and was established to provide a systematic savings program for eligible employees and to supplement such savings with employer contributions. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (ERISA), and the Internal Revenue Code of 1986, as amended (IRC).

Administration

FirstEnergy Corp. (FE) is the sponsor of the Plan. The FE Savings Plan Committee is the administrator of the Plan and has responsibility for the day-to-day administration of the Plan. Record keeping with respect to individual participant accounts is maintained by Fidelity Workplace Services, LLC. Plan assets are held in trust under an arrangement with Fidelity Management Trust.

Participation

Generally, all full-time and part-time employees of FE's subsidiaries and participating employees not represented by a collective bargaining union are eligible to participate in the Plan. Full-time and part-time employees represented by a labor union may participate to the extent permitted by their respective collective bargaining agreement.

Effective January 1, 2018, except as further noted, new employees who do not make an affirmative election are deemed to have made an election to contribute 6% of eligible earnings for each payroll period increasing by 1% each April until the employee contribution rate reaches 10%. Certain union participants are automatically enrolled at 2%, Utility Workers Union of America (UWUA) Local 180 is without escalation and International Brotherhood of Electrical Workers (IBEW) Local 777 has an increase of 1% per year up to 4%. A new employee who has not made an affirmative election as to the investment of his or her account shall have his or her account invested in the age appropriate LifePath Portfolio Fund made available to Plan participants. A LifePath Portfolio Fund is an investment alternative that provides a mixture of fixed income and equity investments that are matched to an individual’s age and assumed retirement date. A participant may change any automatic contribution at any time.

Contributions

Subject to IRC limitations, the Plan allows each participant to contribute 1% to 75% (22% for participants represented by UWUA Local 180) of their eligible earnings to the Plan through payroll deductions. Participant contributions may be made as before-tax, after-tax or Roth 401(k) contributions (UWUA Local 180 and IBEW Local 777 are not eligible to elect Roth 401(k) contributions). During any calendar year in which a participant attains age 50 or older, he or she may elect to make additional pre-tax contributions and/or Roth contributions, called “catch-up” contributions. In order to be eligible to make catch-up contributions, the participant must anticipate that his or her pre-tax contributions and/or Roth contributions to the Plan will reach the applicable annual IRC limit on that type of contribution.

FE makes a matching contribution of 50% on the first 6% of eligible compensation contributed by an employee, except for IBEW Local 777 and UWUA Local 180 participants who receive a matching contribution of 80% and 60%, respectively, on the first 4% of eligible contributions. All employer matching contributions are invested in FE common stock, except for certain IBEW Local 777 and UWUA Local 180 participants whose matching contributions are invested in cash. Catch-up contributions are not eligible for matching contributions. The number of shares of FE common stock contributed to each participant is based on the market price of FE common stock as of the end of each pay period. FE matching contributions are non-cash contributions made by issuing shares of common stock. Plan participants may diversify matching contributions held in FE common stock at any time, subject to certain limitations.

5






FirstEnergy Corp. Savings Plan

Notes to Financial Statements
____________________________________________________________________________________________________________________________________________________
Participant Accounts

Individual accounts are maintained for each Plan participant. Each participant’s account is credited with the participant’s contributions, employer matching contributions and allocated Plan earnings. Participants are vested in the entire value of their account at all times.

Investments

Participants direct the investment of their contributions and account balances into various investment options including ten LifePath Funds that include a diversified mix of asset classes based on expected retirement dates (commonly referred to as target date funds), fifteen Plan investment options with different objectives covering a range of asset classes and risk levels and a self-managed brokerage account that offers participants the ability to invest in any security listed on the New York Stock Exchange (NYSE), the NYSE MKT LLC (formerly known as the American Stock Exchange or NYSE Amex LLC) or the NASDAQ and a wide range of mutual funds.

The Plan’s investment options include a fund of shares of FE common stock, which together with a small portion of cash maintained for liquidity purposes, are recorded on a unit basis. FE’s common shares are traded on the NYSE and participation units in the FE Common Stock Fund are valued at the NYSE closing price on the last business day of the plan year. The valuation per share of FE’s common stock was $41.59 and $30.61 at December 31, 2021 and 2020, respectively. The valuation per unit of the FE Common Stock Fund was $50.72 and $37.43 at December 31, 2021 and 2020, respectively, due to cash maintained in the fund for liquidity purposes.

Notes Receivable from Participants

Participants may borrow up to 50% of their total account balance, excluding their Roth 401(k) balance, not exceeding $50,000, including loans outstanding and the highest unpaid loan balance over the previous 12 months. The interest rate for new loans is adjusted each quarter to the prime rate plus 1% based on the prime rate on approximately the 15th day of the last month of the preceding quarter. Effective April 1, 2019, the interest rate for new loans will be equal to the prime rate that is published by Reuters on the last day of the month before the start of the calendar quarter in which the loan is approved, plus 1%. The range of interest rates on outstanding loan balances during the year ended December 31, 2021 was 4.25% to 9.75%. Participants may have up to two loans outstanding at one time. The minimum loan amount is $1,000 and must be repaid within 6 to 60 months. If the loan is for the purchase of a principal residence, the loan repayment period can be extended up to 30 years. Principal repayments and payments of interest are credited to the participant’s account when made, generally through payroll deduction. If a participant fails to make regularly scheduled payments, the participant has 90 days from the first missed scheduled repayment to pay the full amount in arrears. If full repayment of the amount in arrears doesn’t occur, the outstanding balance of the loan will be defaulted and become a taxable distribution to the participant. If an eligible participant elects to take full distribution of their account balance and a loan balance remains, the entire loan balance remaining will be taxable.

The Plan adopted certain provisions of the Coronavirus Aid, Relief, and Economic Security (CARES) Act which allowed payments on loans to be suspended through December 31, 2020 without causing such loan to become delinquent and go into default.

Payment of Benefits

Upon termination of service due to disability, retirement or any other reason, a participant may elect to receive the full value or a portion of his or her account, defer payment to a later date (not beyond age 72 or 70 ½ for participants who reached 70 ½ before January 1, 2020) or receive installment payments. In the event of a participant’s death, the participant’s spouse may elect to withdraw all or a portion of the former participant’s account or keep the funds in the Plan in accordance with provisions of the Plan, all other beneficiaries must withdraw or rollover the former participant's account within 180 days. Retired and separated participants with vested balances of $1,000 or less are required to take full distribution of their account.

The Plan adopted certain provisions of the CARES Act, which allowed, in accordance with Section 2202(a) of the CARES Act, participants to take up to a $100,000 distribution for qualifying reasons associated with the

6






FirstEnergy Corp. Savings Plan

Notes to Financial Statements
____________________________________________________________________________________________________________________________________________________
COVID-19 pandemic from qualified plans between January 1, 2020 and December 31, 2020. Participants have the option to repay the Plan’s distribution over a three-year period.

Plan Transfers

On March 31, 2018, FirstEnergy Solutions Corp, including its subsidiaries, and FirstEnergy Nuclear Operating Company (FES Debtors) announced that, in order to facilitate an orderly financial restructuring, they filed voluntary petitions under Chapter 11 of the United States Bankruptcy Code with the U.S. Bankruptcy Court for the Northern District of Ohio. On February 27, 2020, the FES Debtors effectuated their plan of reorganization and emerged from bankruptcy. Employees of the FES Debtors exited from the Plan on February 27, 2020 and approximately $574 million of FES Debtors participant employees' assets were transferred out of the Plan.

Subsequent Events

Management evaluated subsequent events for the Plan through June 24, 2022, the date the financial statements were available to be issued.

2.Summary of Significant Accounting Policies

The accompanying financial statements have been prepared on the accrual basis of accounting. Benefits are recorded when paid. The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America (GAAP) requires management to make estimates and assumptions that affect reported amounts and disclosures. Actual results may differ from these estimates.

The Plan’s investments are stated at fair value. Fair value reflects the price that would be received for an asset or paid to transfer a liability in the principal or most advantageous market for the asset or liability in an orderly transaction between willing market participants on the measurement date. See Note 5 for a discussion of fair value measurements. Contract value is the relevant measurement attribute for that portion of the net assets available for benefits of the Plan attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan.

Notes receivable from participants represent participant loans and are measured at their unpaid principal balance plus any accrued interest. Delinquent participant loans are reclassified as distributions based upon the terms of the Plan document. Repayments of principal and interest are recognized in the period in which payroll deductions are processed.

Investment income consists of interest and dividend income. The net change in the fair value of investments consists of realized and unrealized gains and losses on those investments. Dividend income is accrued on the ex-dividend date. Purchases and sales of securities are recorded on a trade-date basis. Realized gains and losses from security transactions are reported based on historical cost.

Expenses for the administration of the Plan are generally paid by the Plan.

3.Recent Accounting Pronouncements

There were no recent accounting pronouncements not yet adopted which have a material impact on the Plan.

4.Plan Termination

Although FE has not expressed any intent to do so, it reserves the right to discontinue or terminate the Plan at any time. If the Plan were terminated, in whole or in part, participants would be entitled to withdraw the full value of their accounts, to the extent allowed by law.

5.Investments and Fair Value Measurements

The Plan invests in various investment securities. Investment securities are exposed to various risks such as interest rate, market and credit risks. Due to the level of risk associated with certain investment securities, it is at

7






FirstEnergy Corp. Savings Plan

Notes to Financial Statements
____________________________________________________________________________________________________________________________________________________
least reasonably possible that changes in the values 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 Statements of Net Assets Available for Benefits.

Authoritative accounting guidance establishes a fair value hierarchy that prioritizes the inputs used to measure fair value. This hierarchy gives the highest priority to Level 1 measurements and the lowest priority to Level 3 measurements.

The three levels of the fair value hierarchy are as follows:

Level 1– Quoted prices for identical instruments in active markets.
Level 2– Quoted prices for similar instruments in active markets;
– Quoted prices for identical or similar instruments in markets that are not active; and
– Model-derived valuations for which all significant inputs are observable market data.
Models are primarily industry-standard models that consider various assumptions, including quoted forward prices for commodities, time value, volatility factors and current market and contractual prices for the underlying instruments, as well as other relevant economic measures.
Level 3– Valuation inputs are unobservable and significant to the fair value measurement.

The Plan did not hold any Level 3 investments as of December 31, 2021 or 2020, or during the year ended December 31, 2021.

There were no changes in valuation methodologies for assets measured at fair value during 2021.

The following tables set forth, by level within the fair value hierarchy, the fair value of the Plan’s investments as of December 31, 2021 and 2020:

December 31, 2021
Level 1Level 2Total
Common Collective Trusts $— $2,081,980,695 $2,081,980,695 
FE Common Stock Fund
FE Common Stock415,201,996 — 415,201,996 
Cash and Cash Equivalents— 1,520,744 1,520,744 
Total FE Common Stock Fund415,201,996 1,520,744 416,722,740 
Registered Investment Companies735,435,742 306,626,179 1,042,061,921 
Self-Managed Brokerage Accounts1
— 189,346,822 189,346,822 
Total Investments at Fair Value2
$1,150,637,738 $2,579,474,440 $3,730,112,178 
1 The brokerage account investments are directed by participants.
2 Values do not include investments at contract value.

8






FirstEnergy Corp. Savings Plan

Notes to Financial Statements
____________________________________________________________________________________________________________________________________________________


December 31, 2020
Level 1Level 2Total
Common Collective Trusts$— $1,802,267,672 1,802,267,672 
FE Common Stock Fund
FE Common Stock297,695,320 — 297,695,320 
Cash and Cash Equivalents— 1,240,357 1,240,357 
Total FE Common Stock Fund297,695,320 1,240,357 298,935,677 
Registered Investment Companies725,469,457 272,761,708 998,231,165 
Self-Managed Brokerage Accounts1
— 161,380,680 161,380,680 
Total Investments at Fair Value 2
$1,023,164,777 $2,237,650,417 $3,260,815,194 
1 The brokerage account investments are directed by participants.
2 Values do not include investments at contract value.

6.Fully Benefit-Responsive Investment Contracts

The Plan has an interest in synthetic guaranteed investment contracts (GICs) as part of the Capital Preservation Fund, which is managed by Pacific Investment Management Company (PIMCO).

In accordance with authoritative guidance for defined contribution plans, investment contracts are generally measured at contract value rather than fair value to the extent they are fully benefit-responsive. Contract value represents contributions made under the contract, plus earnings, less participant withdrawals and administrative expenses. Participants transact with their investment in the Capital Preservation Fund at contract value as determined by the insurers and banks. No valuation reserve in relation to the contract value was deemed necessary. The Statement of Changes in Net Assets Available for Benefits and the Statements of Net Assets Available for Benefits present the synthetic GICs on a contract value basis.

A synthetic investment contract includes a wrapper contract, which is an agreement for the wrap issuer, such as a bank or insurance company, to make payments to the Plan in certain circumstances. The wrapper contract typically includes certain conditions and limitations on the underlying assets owned by the Plan.

The synthetic investment contracts held by the Plan include wrapper contracts that provide a guarantee that the credit rate will not fall below 0%. Cash flow volatility (for example, timing of benefit payments), as well as asset underperformance, can be passed through to the Plan through adjustments to future contract crediting rates. Formulas are provided in each contract that adjusts renewal crediting rates to recognize the difference between the fair value and the book value of the underlying assets. Crediting rates are reviewed monthly for resetting.

Certain events limit the ability of the Plan to transact with the issuer at contract value. These events include closings (location, subsidiary, division), layoffs, Plan termination, bankruptcy or reorganization, corporate merger, early retirement incentive programs or similar events. The Plan Administrator does not believe any such events of the magnitude that would limit the Plan’s ability to transact at contract value are probable. The GICs do not permit the issuers to terminate the contracts at an amount other than contract value.

9






FirstEnergy Corp. Savings Plan

Notes to Financial Statements
____________________________________________________________________________________________________________________________________________________

The following represents the disaggregation of contract value between types of investment contracts held by the Plan at December 31, 2021 and 2020:
20212020
Short-term investment fund$12,011,006 $18,769,615 
Synthetic GICs 465,943,640 468,555,769 
Total Investments at contract value $477,954,646 $487,325,384 

The synthetic GICs are presented on Schedule H, line 4i - Schedule of Assets (Held at End of Year) at fair value as a requirement of Form 5500. The fair value of the synthetic GICs represents the total fair value of the underlying assets plus the wrap value, which is calculated by using the discounted cash flows of the difference between the current wrap fee and the market indication wrap fee.

7.Tax Considerations

The Plan is exempt from federal, state and local income taxes. The Plan obtained its latest favorable determination letter on October 27, 2016, in which the Internal Revenue Service stated that the Plan, as then designed, was in compliance with the applicable requirements of the IRC. The Plan has been amended since receiving the determination letter. However, the Plan Administrator and the Plan's tax counsel believe that the Plan is currently designed and being operated in compliance with the applicable requirements of the IRC.

The federal, state and local income tax treatments of distributions from the Plan depend upon when they are made and their form. The withdrawal of the principal amount of a participant's after-tax contribution is not, however, subject to tax. For tax years beginning after December 31, 1986, the Tax Reform Act of 1986 requires that an additional tax of 10% be applied to participant withdrawals from the Plan prior to death, disability, attainment of age 59-1/2 or under certain other limited circumstances. In the case of withdrawal by a participant employed by FE or its consolidated subsidiaries (FirstEnergy) prior to the attainment of age 59-1/2, the excess of the value of the withdrawal over the total amount of the participant's after-tax contributions, is taxable at ordinary income tax rates. The value of FE’s common stock withdrawn is considered to be its fair value on the date it is withdrawn.

In the case of a distribution that qualifies as a lump-sum distribution upon a participant's termination of employment with FirstEnergy or after attaining the age of 59-1/2, only the excess of the value of the lump sum distribution over the amount of the participant's after-tax contributions to the Plan (less withdrawals) is taxable at ordinary income tax rates. In determining the value of the lump-sum distribution, the FE common stock distributed in-kind or in cash is measured at fair value on the date it is withdrawn.

The Plan is subject to audits by taxing jurisdictions. GAAP requires Plan management to evaluate tax positions taken by the Plan and recognize a tax liability if the Plan has taken an uncertain position that more than likely would not be sustained upon examination by taxing authorities. The Plan Administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2021 and 2020, there are no uncertain positions taken or expected to be taken that would require recognition of a liability or disclosure in the financial statements.

8.Party-In-Interest Transactions

Certain Plan investments are shares of mutual funds managed by Fidelity Investments. Fidelity Management Trust, a related company, is the trustee as defined by the Plan and, therefore, these transactions qualify as party-in-interest transactions.

PIMCO is the fund manager of the Capital Preservation Fund and invests in certain investments managed by PIMCO and, therefore, these transactions qualify as party-in-interest transactions.


10






FirstEnergy Corp. Savings Plan

Notes to Financial Statements
____________________________________________________________________________________________________________________________________________________
Certain Plan investments are shares of FE common stock with sales and purchases of the stock commencing on an as-needed basis. The investments and transactions qualify as party-in-interest transactions.

Additionally, the Plan uses the services of other fund managers that are paid directly by the Plan.

All of the above transactions are exempt from the prohibited transaction rules of ERISA.

9.Reconciliation of Financial Statements to Form 5500

The following is a reconciliation of net assets available for benefits, investment income and interest income on notes receivable per the financial statements to Form 5500 as of December 31, 2021 and 2020, and for the year ended December 31, 2021:
20212020
Net assets available for benefits per the financial statements$4,204,777,432 $3,751,316,294 
Adjustment from contract value to fair value for fully-benefit
   responsive investment contracts3,400,715 16,010,866 
Net assets available for benefits per Form 5500$4,208,178,147 $3,767,327,160 
Total investment income and interest income on notes receivable
   from participants per the financial statements$607,159,392 
Adjustment from contract value to fair value for fully-benefit
   responsive investment contracts(12,610,151)
Investment income per Form 5500$594,549,241 



11







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCost ($)Current Value ($)
* FIRSTENERGY COMMON STOCK FUND  FirstEnergy common stock  ** $416,722,740 
* FIDELITY PURITAN FUND  Balanced fund  ** 162,272,756 
 BLACKROCK ACWI EX US - M International stocks  ** 117,616,244 
 PIMCO REAL RETURN FUND INSTITUTIONAL CLASS  Bonds  ** 33,770,083 
 AMERICAN FUNDS EUROPACIFIC GROWTH FUND  International stocks  ** 95,422,447 
 BLACKROCK LIFEPATH INDEX RETIREMENT FUND L  Blend of stocks, fixed income  ** 153,662,759 
 BLACKROCK LIFEPATH INDEX 2025 FUND L  Blend of stocks, fixed income  ** 166,780,941 
 BLACKROCK LIFEPATH INDEX 2030 FUND L  Blend of stocks, fixed income  ** 123,498,390 
 BLACKROCK LIFEPATH INDEX 2035 FUND L  Blend of stocks, fixed income  ** 83,115,603 
 BLACKROCK LIFEPATH INDEX 2040 FUND L  Blend of stocks, fixed income  ** 61,609,244 
 BLACKROCK LIFEPATH INDEX 2045 FUND L  Blend of stocks, fixed income  ** 68,601,708 
 BLACKROCK LIFEPATH INDEX 2050 FUND L  Blend of stocks, fixed income  ** 83,311,711 
 BLACKROCK LIFEPATH INDEX 2055 FUND L  Blend of stocks, fixed income  ** 62,571,633 
 BLACKROCK LIFEPATH INDEX 2060 FUND L  Blend of stocks, fixed income  ** 31,537,280 
 BLACKROCK LIFEPATH INDEX 2065 FUND L  Blend of stocks, fixed income  ** 5,781,519 
 DODGE & COX INTERNATIONAL FUND  International stocks  ** 64,934,091 
 SELF MANAGED BROKERAGE ACCOUNTS  Equities, fixed income  ** 189,346,822 
 US DEBT INDEX FUND M MUTUAL FUND  Bonds  ** 27,002,374 
 SMALL CAP GROWTH EQUITY  Small cap growth stocks  ** 19,553,439 
 MARKET COMPLETION INDEX  Blend of large, mid cap and small cap stocks  ** 112,952,622 
 MID CAP VALUE INDEX ADMIRAL FUND Mid cap value stocks  ** 72,993,651 
 EQUITY INDEX - J  Large cap stocks  ** 964,385,226 
 VICTORY SYCAMORE SMALL CAP VALUE FUND  Small cap value stocks  ** 82,781,182 
*CAPITAL PRESERVATION FUND
STATE STREET STIF Money market fund  ** 12,011,006 
7-ELEVEN INC SR UNSEC 144A SMR Corporate - 0.63%, 2023  ** 1,197,306 
7-ELEVEN INC SR UNSEC 144A SMR Corporate - 0.80%, 2024  ** 1,188,841 
AMERICAN ELECTRIC POWER SR UNSEC Corporate - 0.61%, 2023  ** 600,390 
ANDREW W MELLON FOUNDATI UNSEC Corporate - 0.95%, 2027  ** 1,362,013 
AT&T INC SR UNSEC Corporate - 2.55%, 2033  ** 1,342,067 
ATMOS ENERGY CORP SR UNSEC Cash Equivalent - 0.58%, 2023  ** 1,600,692 
BANK 2018-BN12 ASB Mortgage - 4.17%, 2061  ** 1,307,611 
BANK 2019-BN21 ASB Mortgage - 2.81%, 2052  ** 1,578,760 
BANK 2020-BN25 A5 Mortgage - 2.65%, 2063  ** 1,039,503 
BANK 2020-BN26 A4 WM29 WC3.5017 Mortgage - 2.40%, 2063  ** 1,021,458 
BANK OF AMERICA CORP SR UNSEC SOFR Corporate - 1.73%, 2027  ** 2,393,562 
BANK OF AMERICA CORP SR UNSEC SOFR Corporate - 1.20%, 2026  ** 2,454,301 
BANK OF AMERICA CORP SR UNSEC SOFR Corporate - 1.66%, 2027  ** 995,995 
BANK OF NY MELLON CORP SR UNSEC Corporate - 1.60%, 2025  ** 2,124,162 

12







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
BANNER HEALTH UNSEC Corporate - 2.34%, 2030  ** 1,530,247 
BANQUE FED CRED MUTUEL SR UNSEC 144A Cash Equivalent - 1.09%, 2023  ** 1,823,946 
BARCLAYS PLC SR UNSEC Corporate - 2.65%, 2031  ** 697,965 
BARCLAYS PLC SR UNSEC SOFR Corporate - 2.85%, 2026  ** 1,655,086 
BAT CAPITAL CORP SR UNSEC Corporate - 3.22%, 2024  ** 209,277 
BAT INTL FINANCE PLC SR UNSEC Corporate - 1.67%, 2026  ** 197,009 
BAY AREA CA TOLL AUTH Municipals - 2.57%, 2031  ** 1,551,529 
BMARK 2019-B14 ASB Mortgage - 2.96%, 2062  ** 1,481,840 
BNP PARIBAS 144A Corporate - 2.82%, 2025  ** 1,856,621 
BPCE SA SR PREFERRED 144A Corporate - 1.00%, 2026  ** 1,746,999 
BRIGHTHSE FIN GLBL FUND SEC 144A Corporate - 1.55%, 2026  ** 1,482,291 
CA ST UNIV-D Municipals - 1.69%, 2029  ** 1,172,441 
CANADIAN IMPERIAL BANK SR UNSEC SOFR Corporate - 1.10%, 2023  ** 1,709,514 
CASH COLLATERAL FUT BOS USD Cash Equivalent - 0.00%, 2060  ** 317,959 
CASH COLLATERAL ICE BOS USD Cash Equivalent - 0.00%, 2060  ** 378,343 
CASH COLLATERAL ICE GSC USD Cash Equivalent - 0.07%, 2060  ** 472,711 
CDX IG35 5Y ICE Credit Default Swap - 1.00%, 2025  ** 50 
CDX IG36 5Y ICE Credit Default Swap - 1.00%, 2026  ** 155 
CDX IG37 5Y ICE Credit Default Swap - 1.00%, 2026  ** 3,211 
CDX ITRAXX EXJP IG36 5Y ICE Credit Default Swap - 1.00%, 2026  ** 86 
CGCMT 2013-GC11 AAB Cash Equivalent - 2.69%, 2046  ** 178,006 
CGCMT 2015-GC29 AAB WM24 WC4.173211878 Mortgage - 2.98%, 2048  ** 970,864 
CITIGROUP INC SOFR SR UNSEC Corporate - 2.56%, 2032  ** 1,613,602 
COMM 2013-CR11 ASB WM23 WC5.205219817 Cash Equivalent - 3.66%, 2050  ** 540,801 
COMM 2014-CR19 ASB WM14 Mortgage - 3.50%, 2047  ** 1,025,843 
COMM 2014-UBS6 ASB WM14 Mortgage - 3.39%, 2047  ** 1,100,099 
COMM 2015-CR23 A3 WM15 Mortgage - 3.23%, 2048  ** 1,792,950 
COMM 2015-CR23 ASB WM15 Mortgage - 3.26%, 2048  ** 825,038 
COMM 2015-DC1 ASB WM15 Cash Equivalent - 3.14%, 2048  ** 900,640 
COMM 2015-LC19 ASB Mortgage - 3.04%, 2048  ** 788,879 
COMM 2015-LC21 ASB Mortgage - 3.42%, 2048  ** 1,581,131 
COMM 2018-COR3 A3 WM28 WC4.57635829 Mortgage - 4.23%, 2051  ** 1,124,528 
COMM 2019-GC44 ASB Mortgage - 2.87%, 2057  ** 1,577,384 
COOPERATIEVE RABOBANK UA SR NONPREF 144A Corporate - 1.34%, 2026  ** 1,479,852 
COOPERATIEVE RABOBANK UA SR UNSEC 144A Cash Equivalent - 1.08%, 2023  ** 2,016,669 
CPI PROPERTY GROUP SA SR Corporate - 4.75%, 2023  ** 734,006 
CRED SUIS GP FUN LTD SR UNSEC Corporate - 3.80%, 2023  ** 363,161 

13







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
CREDIT SUISSE GROUP AG SR UNSE 144A SOFR Corporate - 2.19%, 2026  ** 2,014,556 
CREDIT SUISSE GROUP AG SRUNSEC 144A SOFR Corporate - 3.09%, 2032  ** 1,122,814 
CSAIL 2015-C1 ASB WM15 Mortgage - 3.35%, 2050  ** 663,519 
CSAIL 2017-CX9 ASB Mortgage - 3.26%, 2050  ** 1,047,763 
DALLAS AREA RAPID TRN Municipals - 1.35%, 2027  ** 98,782 
DASNY -REV - F Municipals - 3.03%, 2033  ** 1,061,217 
DELL INT LLC / EMC CORP Corporate - 6.02%, 2026  ** 579,207 
DELL INT LLC / EMC CORP Corporate - 6.10%, 2027  ** 604,297 
DEUTSCHE BANK NY SOFR SR NON-PREF Corporate - 3.55%, 2031  ** 423,616 
EL PASO PIPELINE PART OP SR UNSEC Corporate - 4.30%, 2024  ** 1,597,817 
ENBRIDGE INC SR UNSEC Corporate - 2.90%, 2022  ** 610,237 
EQUITABLE FINANCIAL LIFE SEC 144A Corporate - 1.30%, 2026  ** 1,769,257 
FED HOME LN BK BD (1.331MMM) Corporate - 3.38%, 2023  ** 2,629,800 
FED HOME LN BK BD (600MM) Corporate - 1.05%, 2026  ** 1,781,684 
FED HOME LN BK GLBL BD (1MMM) Corporate - 1.50%, 2024  ** 3,363,698 
FED HOME LN BK GLBL BD (300MM) Corporate - 1.00%, 2026  ** 3,458,765 
FHA 221D4 P4/02 GREY 54 NCP Mortgage - 7.43%, 2023  ** 14 
FHLMC GOLD 30YR #Q3-1614 Mortgage - 3.00%, 2045  ** 1,198,404 
FHLMC GOLD 30YR #Q3-3509 Mortgage - 3.00%, 2045  ** 325,764 
FHLMC GOLD 30YR GNT #G0-8687 Mortgage - 3.50%, 2046  ** 1,839,160 
FHLMC GOLD 30YR GNT #G0-8693 Mortgage - 3.50%, 2046  ** 46,073 
FHLMC GOLD 30YR GNT #G0-8823 Mortgage - 3.50%, 2048  ** 790,791 
FHLMC GOLD 30YR GNT #G0-8841 Mortgage - 3.50%, 2048  ** 214,023 
FHLMC GOLD 30YR GNT #G0-8857 Cash Equivalent - 4.00%, 2049  ** 923,026 
FHMS K065 A1 WM27 WC4.3550 Mortgage - 2.86%, 2026  ** 1,205,833 
FHMS K070 A1 Mortgage - 3.03%, 2027  ** 3,511,968 
FHR 2666 OD PAC WM23 WC5.84 Cash Equivalent - 5.50%, 2023  ** 69,455 
FHR 2739 PG PAC WM33 WC5.552 Mortgage - 5.00%, 2034  ** 369,430 
FHR 2950 FN 1MLIB+45 Cash Equivalent - 0.56%, 2035  ** 95,350 
FHR 3185 GT SEQ WM26 WC6.43 Mortgage - 6.00%, 2026  ** 59,397 
FHR 3225 HF 1MLIB+51BP Cash Equivalent - 0.62%, 2036  ** 124,836 
FHR 3311 FN 1MLIB+30BP Cash Equivalent - 0.41%, 2037  ** 42,396 
FHR 3318 FL 1MLIB+40 Cash Equivalent - 0.51%, 2037  ** 110,466 
FHR 3339 FL 1MLIB+58 Cash Equivalent - 0.69%, 2037  ** 98,520 
FHR 3355 BF 1MLIB+70 Cash Equivalent - 0.81%, 2037  ** 145,312 
FHR 3368 AF 1MLIB+72 Cash Equivalent - 0.83%, 2037  ** 20,400 
FHR 3666 FC 1MLIB+73 Cash Equivalent - 0.84%, 2040  ** 55,317 
FHR 3699 FD VA 1MLIB+60 Cash Equivalent - 0.71%, 2040  ** 176,388 

14







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
FHR 3740 DF 1MLIB+48 Cash Equivalent - 0.59%, 2040  ** 296,054 
FHR 3743 FA 1MLIB+60 Cash Equivalent - 0.71%, 2040  ** 470,877 
FHR 3747 WF VA 1MLIB+48 Cash Equivalent - 0.59%, 2040  ** 408,533 
FHR 3751 FG 1MLIB+50 Cash Equivalent - 0.61%, 2050  ** 86,519 
FHR 3843 FE 1MLIB+55BP Cash Equivalent - 0.66%, 2041  ** 584,024 
FHR 3843 FG 1MLIB+55BP Cash Equivalent - 0.66%, 2041  ** 584,024 
FHR 3977 FB 1MLIB+52BP Cash Equivalent - 0.63%, 2041  ** 692,163 
FHR 3984 DF 1M LIBOR +55BP Cash Equivalent - 0.66%, 2042  ** 680,586 
FHR 4400 FA 1MLIB + 40 BP Cash Equivalent - 0.51%, 2041  ** 428,672 
FHR 4736 CD WM39 WC4.9483 Mortgage - 3.00%, 2046  ** 593,162 
FHR 4989 FA 1MLIB+35BP Cash Equivalent - 0.45%, 2040  ** 201,658 
FHR 4989 FB 1MLIB+35BP Cash Equivalent - 0.45%, 2040  ** 202,346 
FIN FUT US ULTRA 10YR CBT 03/22/22 Future - 6.00%, 2022  ** 5,274 
FIN FUT US ULTRA 30YR CBT 03/22/22 Future - 6.00%, 2022  ** (12,031)
FN ARM AL7090 H15T1Y+222.8 9.475 Cash Equivalent - 2.29%, 2037  ** 325,012 
FNMA GLBL NT (2MMM) Corporate - 2.38%, 2023  ** 2,257,714 
FNMA PASS THRU 15YR #MA3897 Mortgage - 3.00%, 2035  ** 598,728 
FNMA PASS THRU 20YR #254916 Cash Equivalent - 5.50%, 2023  ** 25,689 
FNMA PASS THRU 20YR #255075 Cash Equivalent - 5.50%, 2024  ** 34,395 
FNMA PASS THRU 20YR #AL6722 Cash Equivalent - 5.00%, 2030  ** 659,255 
FNMA PASS THRU 30YR #848210 Cash Equivalent - 5.50%, 2035  ** 120,010 
FNMA PASS THRU 30YR #884863 Mortgage - 5.50%, 2036  ** 55,575 
FNMA PASS THRU 30YR #890365 Cash Equivalent - 5.50%, 2041  ** 105,964 
FNMA PASS THRU 30YR #938504 Cash Equivalent - 5.50%, 2037  ** 48,086 
FNMA PASS THRU 30YR #BK8819 Cash Equivalent - 4.00%, 2048  ** 703,912 
FNMA PASS THRU 30YR #FM3241 Mortgage - 3.00%, 2050  ** 2,516,342 
FNMA TBA 2.0% FEB 15YR Mortgage - 2.00%, 2037  ** 10,132 
FNMA TBA 2.0% JAN 15YR Mortgage - 2.00%, 2037  ** (6,346)
FNMA TBA 2.5% FEB 30YR Mortgage - 2.50%, 2052  ** (20,963)
FNMA TBA 2.5% JAN 30YR Mortgage - 2.50%, 2052  ** (29,992)
FNMA TBA 3.0% FEB 30YR Mortgage - 3.00%, 2052  ** 2,154 
FNMA TBA 3.0% JAN 30YR Mortgage - 3.00%, 2052  ** (11,125)
FNMA TBA 4.0% FEB 30YR Cash Equivalent - 4.00%, 2052  ** (2,961)
FNMA TBA 4.0% JAN 30YR Cash Equivalent - 4.00%, 2052  ** (22,094)
FNR 2005-13 FA 1MLIB+45 Cash Equivalent - 0.55%, 2035  ** 275,369 
FNR 2005-29 JB WM33 WC7.0709 Mortgage - 4.50%, 2035  ** 95 
FNR 2006-129 FM 1MLIB+25 Cash Equivalent - 0.35%, 2037  ** 44,327 
FNR 2007-109 GF 1MLIB+68 Cash Equivalent - 0.78%, 2037  ** 318,923 
FNR 2007-25 FB 1MLIB+33BP Cash Equivalent - 0.43%, 2037  ** 18,069 

15







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
FNR 2007-27 FA 1MLIB+31BP Cash Equivalent - 0.41%, 2037  ** 7,974 
FNR 2007-38 FC 1MLIB+42 Cash Equivalent - 0.52%, 2037  ** 75,836 
FNR 2007-70 FA 1MLIB+35BP Cash Equivalent - 0.45%, 2037  ** 55,579 
FNR 2008-12 FA 1MLIB+67BP FRN Cash Equivalent - 0.77%, 2038  ** 527,757 
FNR 2010-111 FC 1MLIB+52 Cash Equivalent - 0.62%, 2040  ** 64,481 
FNR 2010-115 FM 1MLIB+50 Cash Equivalent - 0.60%, 2040  ** 403,103 
FNR 2010-117 FE 1MLIB+40BP Cash Equivalent - 0.50%, 2040  ** 41,775 
FNR 2010-135 LF 1MLIB+45 Cash Equivalent - 0.55%, 2040  ** 217,892 
FNR 2010-2 GF 1MLIB+55BP Cash Equivalent - 0.65%, 2049  ** 55,726 
FNR 2015-79 FE 1MLIB+25BP Cash Equivalent - 0.35%, 2045  ** 967,262 
FNR 2015-87 BF 1MLIB+30BP Cash Equivalent - 0.40%, 2045  ** 608,084 
FNR 2016-11 CF 1MLIB+35BP Cash Equivalent - 0.45%, 2046  ** 1,124,877 
FNR 2016-40 AF 1MLIB+45BP Cash Equivalent - 0.55%, 2046  ** 985,003 
FNR 2016-64 KF WM38 WC3.3381 Cash Equivalent - 0.57%, 2046  ** 934,010 
FNR 2016-82 FM 1MLIB+40BP Cash Equivalent - 0.50%, 2046  ** 1,214,451 
FNR 2016-87 AF 1MLIB+40BP Cash Equivalent - 0.50%, 2046  ** 1,438,843 
GA GLOBAL FUNDING TRUST 144A Corporate - 1.00%, 2024  ** 1,686,517 
GENERAL ELECTRIC COMPANY SNR S* ICE Credit Default Swap - 1.00%, 2026  ** 238 
GNMA II MULTPL SGL 30YR #MA3105M Mortgage - 3.50%, 2045  ** 1,783,672 
GOLDMAN SACHS GROUP INC SOFR Corporate - 0.87%, 2027  ** 400,887 
GOLDMAN SACHS GROUP INC SOFR SR UNSEC Corporate - 1.43%, 2027  ** 884,236 
GOLDMAN SACHS GROUP INC SR UNSEC Corporate - 3.69%, 2028  ** 4,391,734 
GSMS 2015-GC32 A3 WM15 Mortgage - 3.50%, 2048  ** 944,631 
GSMS 2019-GSA1 AAB Mortgage - 2.99%, 2052  ** 2,098,884 
HARVEST OPERATIONS CORP UNSEC 144A Corporate - 1.00%, 2024  ** 1,292,929 
HAWAII ST-GB Municipals - 0.85%, 2025  ** 984,729 
HSBC HOLDINGS PLC SR UNSEC Corporate - 3.97%, 2030  ** 1,414,437 
HSBC HOLDINGS PLC SR UNSEC SOFR Corporate - 2.87%, 2032  ** 2,022,087 
HYUNDAI CAPITAL AMERICA SR UNSEC 144A Corporate - 0.80%, 2023  ** 1,196,195 
IMPERIAL BRANDS FIN PLC SR UNSEC 144A Corporate - 3.13%, 2024  ** 1,249,229 
IMPERIAL BRANDS FINANCE Corporate - 3.50%, 2023  ** 820,835 
ING GROEP NV SR UNSEC Corporate - 4.10%, 2023  ** 1,375,903 
JPMBB 2013-C17 ASB WM23 WC4.9082 Cash Equivalent - 3.71%, 2047  ** 592,962 
JPMBB 2014-C22 ASB WM24 WC4.580566404 Mortgage - 3.50%, 2047  ** 957,715 
JPMBB 2015-C27 ASB Mortgage - 3.02%, 2048  ** 1,077,333 
JPMORGAN CHASE & CO SR UNSEC Corporate - 3.78%, 2028  ** 3,056,532 
JPMORGAN CHASE & CO SR UNSEC SOFR Corporate - 1.95%, 2032  ** 774,715 
JPMORGAN CHASE & CO UNSEC Corporate - 3.90%, 2025  ** 1,857,222 
KINDER MORGAN ENER PART Corporate - 3.95%, 2022  ** 2,117,494 

16







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
KOREA DEVELOPMENT BANK SRUNSEC Cash Equivalent - 0.51%, 2023  ** 1,603,480 
LLOYDS BANKING GROUP PLC SR UNSEC Corporate - 3.57%, 2028  ** 1,607,480 
LLOYDS BANKING GROUP PLC SR UNSEC Corporate - 4.55%, 2028  ** 2,179,877 
LOS ANGELES CO REDEV Municipals - 2.00%, 2023  ** 1,943,395 
MITSUBISHI UFJ FIN GRP SR UNSEC Corporate - 1.41%, 2025  ** 1,997,372 
MIZUHO FINANCIAL GROUP SR UNSEC Corporate - 2.17%, 2032  ** 3,411,567 
MORGAN STANLEY SOFR SR UNSEC Corporate - 2.24%, 2032  ** 1,870,426 
MSBAM 2013-C13 ASB WM23 WC4.922172434 Cash Equivalent - 3.56%, 2046  ** 374,859 
MSBAM 2014-C16 A4 WM23 C4.78111 Mortgage - 3.60%, 2047  ** 2,033,301 
MSBAM 2015-C20 ASB WM24 WC4.486757058 Mortgage - 3.07%, 2048  ** 653,361 
MSC 2021-L5 ASB Mortgage - 2.43%, 2054  ** 1,123,450 
NATWEST GROUP PLC SR UNSEC Corporate - 1.64%, 2027  ** 987,235 
NATWEST GROUP PLC SR UNSEC Corporate - 4.89%, 2029  ** 1,721,604 
NEW YORK ST URBAN DEV Municipals - 1.35%, 2026  ** 1,998,280 
NISSAN MOTOR CO SR UNSEC 144A Corporate - 4.35%, 2027  ** 1,304,400 
NYC TRANS FIN AUTH-B2 Municipals - 3.25%, 2023  ** 950,235 
PACIFIC GAS & ELECTRIC Corporate - 3.00%, 2028  ** 605,235 
PACIFIC GAS & ELECTRIC SEC Corporate - 1.37%, 2023  ** 498,124 
PACIFIC GAS & ELECTRIC SEC SMR Corporate - 1.69%, 2022  ** 1,100,885 
PACIFIC LIFE GF II SEC 144A SOFR Corporate - 0.67%, 2026  ** 705,148 
PETRONAS CAPITAL LTD 144A GTD Corporate - 3.50%, 2030  ** 814,949 
PROTECTIVE LIFE GLOBAL SEC 144A Corporate - 1.08%, 2023  ** 1,504,365 
REYNOLDS AMERICAN INC SR UNSEC SMR Corporate - 4.45%, 2025  ** 216,417 
SAN JOSE REDEV-A-T Municipals - 3.13%, 2028  ** 855,411 
SANTANDER HOLDINGS USA SR UNSEC Corporate - 4.50%, 2025  ** 1,203,680 
SANTANDER UK GROUP HLDGS SR UNSEC SOFR Corporate - 1.67%, 2027  ** 1,372,035 
SAUDI INTERNATIONAL BOND Govt-Non US - 2.88%, 2023  ** 3,090,080 
SBA TOWER TRUST NT SEC 144A 2A C Corporate - 3.87%, 2049  ** 1,659,612 
SINOPEC GRP DEV 2018 SR UNSEC 144A Corporate - 2.50%, 2024  ** 516,595 
SLCLT 2006-1 A5 3MLIB+11BP Cash Equivalent - 0.31%, 2027  ** 175,622 
SLMA 2005-4 A3 Cash Equivalent - 0.24%, 2027  ** 357,937 
SLMA 2005-7 A4 3MLIB+15BP Cash Equivalent - 0.27%, 2029  ** 398,204 
SOCIETE GENERALE SR NON-PREFERRED 144A Corporate - 2.63%, 2025  ** 1,444,939 
SOUTHERN CAL EDISON 1ST LIEN Corporate - 0.70%, 2023  ** 1,891,521 
STANDARD CHARTER SR UNSEC 144A Corporate - 2.68%, 2032  ** 1,377,109 
STANDARD CHARTERED PLC SR UNSEC 144A Corporate - 1.21%, 2025  ** 496,981 
STATE OF QATAR SR UNSEC 144A Govt-Non US - 3.88%, 2023  ** 1,253,124 

17







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
STIF FUND (EUR) (FIDELITY) Cash Equivalent - 0.00%, 2030  **
STIF FUND (GBP) (FIDELITY) Cash Equivalent - 0.00%, 2030  **
STIF FUND (JPY) (FIDELITY) Cash Equivalent - 0.00%, 2030  ** — 
STIF FUND (USD) (FIDELITY) Cash Equivalent - 0.03%, 2030  ** 505,159 
SUMITOMO MITSUI FINL GRP SR UNSEC Corporate - 2.45%, 2024  ** 1,032,493 
SUNTORY HOLDINGS LTD SR UNSEC 144A Corporate - 2.25%, 2024  ** 1,738,210 
SUTTER HEALTH UNSEC Corporate - 1.32%, 2025  ** 895,139 
SVENSKA HANDELSBANKEN SR NPREFERRED 144A Corporate - 1.42%, 2027  ** 1,181,570 
TX TRANSPRTN COM-REF Municipals - 4.00%, 2033  ** 1,321,864 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 2,099,715 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 2,299,891 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 11,597,101 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 9,898,056 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 1,254,855 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 7,499,937 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 16,896,514 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 2,099,991 
U S TREASURY BILLS Cash Equivalent - 0.00%, 2022  ** 6,144,292 
U S TREASURY NOTE Cash Equivalent - 2.13%, 2022  ** 6,106,584 
U S TREASURY NOTE Cash Equivalent - 1.88%, 2022  ** 5,530,412 
U S TREASURY NOTE Cash Equivalent - 0.13%, 2022  ** 11,886,643 
U S TREASURY NOTE US Treasury - 0.13%, 2024  ** 7,309,470 
U S TREASURY NOTE US Treasury - 0.38%, 2026  ** 32,348,739 
U S TREASURY NOTE US Treasury - 0.75%, 2026  ** 9,673,754 
U S TREASURY NOTE US Treasury - 1.25%, 2028  ** 693,199 
U S TREASURY NOTE US Treasury - 0.13%, 2023  ** 29,745,300 
U S TREASURY NOTE US Treasury - 0.13%, 2023  ** 15,208,258 
U S TREASURY NOTE US Treasury - 0.75%, 2028  ** 6,754,040 
U S TREASURY NOTE US Treasury - 1.13%, 2028  ** 9,877,244 
U S TREASURY NOTE US Treasury - 0.13%, 2023  ** 49,666,108 
UBS GROUP AG SR UNSEC 144A Corporate - 2.10%, 2032  ** 3,211,173 
UBSBB 2013-C5 AAB WM22 WC4.120420506 Cash Equivalent - 2.69%, 2046  ** 294,900 
UBSCM 2017-C7 ASB Mortgage - 3.59%, 2050  ** 1,702,186 
UNIV OF CALIFORNIA-BG Municipals - 1.32%, 2027  ** 1,376,651 
UT ST-BABS-B Municipals - 3.54%, 2025  ** 2,847,930 
VM CASH CCP ICE BOS USD Cash Equivalent - 0.01%, 2060  ** 251,240 
VM CASH CCP ICE GSC USD Cash Equivalent - 0.00%, 2060  ** 7,039 
VM CASH FUT DOM BOS USD Cash Equivalent - 0.00%, 2060  ** 47,913 

18







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
WELLS FARGO & COMPANY SR UNSEC Corporate - 3.55%, 2025  ** 3,106,844 
WELLS FARGO & COMPANY SR UNSEC Corporate - 3.00%, 2026  ** 1,739,909 
WFCM 2015-C26 ASB WM15 Mortgage - 2.99%, 2048  ** 980,314 
WFCM 2015-C29 ASB WM15 Mortgage - 3.40%, 2048  ** 1,126,899 
WFCM 2015-C30 ASB WM25 WC4.53 Mortgage - 3.41%, 2058  ** 1,251,208 
WFCM 2016-C35 ASB WM16 WC0.0 Mortgage - 2.79%, 2048  ** 1,341,020 
WFCM 2017-C42 ASB Mortgage - 3.49%, 2050  ** 1,587,618 
WFCM 2018-C44 A5 Mortgage - 4.21%, 2051  ** 1,686,987 
WISCONSIN-A-REF-TXBL Cash Equivalent - 1.90%, 2022  ** 1,913,043 
Capital Preservation Fund Total481,355,361 
ARTISAN MIDCAP INVESTOR FUND
BBF STIF MONEY MARKET FUND  ** 5,635,448 
ADVANCED DRAINAGE SYS INCCOMMON STOCKS ** 2,260,030 
AGILENT TECH INCCOMMON STOCKS ** 3,307,469 
APTIV PLCCOMMON STOCKS ** 4,713,281 
ARGENX SE SPONSORED ADRCOMMON STOCKS ** 5,049,740 
ARISTA NETWORKS INCCOMMON STOCKS ** 4,643,844 
ASCENDIS PHARMA AS SPON ACOMMON STOCKS ** 6,165,375 
ATLASSIAN CORP PLC CLS ACOMMON STOCKS ** 7,904,142 
AZENTA INCCOMMON STOCKS ** 2,326,986 
BALL CORPCOMMON STOCKS ** 2,929,977 
BIGCOMMERCE HLDGS INCCOMMON STOCKS ** 1,537,711 
BILL.COM HLDGS INCCOMMON STOCKS ** 2,383,867 
BIONTECH SE ADRCOMMON STOCKS ** 1,441,102 
BURLINGTON STORES INCCOMMON STOCKS ** 4,805,542 
CATALENT INCCOMMON STOCKS ** 5,938,800 
CERIDIAN HCM HLDG INCCOMMON STOCKS ** 4,428,582 
CHEGG INCCOMMON STOCKS ** 488,314 
CHIPOTLE MEXICAN GRILL INCOMMON STOCKS ** 4,652,093 
COGNEX CORPCOMMON STOCKS ** 1,823,161 
DATADOG INC CL ACOMMON STOCKS ** 5,506,983 
DEXCOM INCCOMMON STOCKS ** 3,801,069 
DRAFTKINGS INC CL ACOMMON STOCKS ** 578,051 
ENTEGRIS INCCOMMON STOCKS ** 3,411,562 
EVOTEC SE ADRCOMMON STOCKS ** 1,942,109 
EXACT SCIENCES CORPCOMMON STOCKS ** 1,124,099 

19







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
FIRST REPUBLIC BANKCOMMON STOCKS ** 3,631,272 
FORTIVE CORPCOMMON STOCKS ** 4,228,678 
GENERAC HLDGS INCCOMMON STOCKS ** 4,143,858 
GENMAB AS SP ADRCOMMON STOCKS ** 3,776,951 
GLOBAL PAYMENTS INCCOMMON STOCKS ** 5,632,275 
GLOBAL-E ONLINE LTDCOMMON STOCKS ** 1,951,968 
HUBSPOT INCCOMMON STOCKS ** 10,116,634 
INGERSOLL RAND INCCOMMON STOCKS ** 6,128,780 
LATTICE SEMICONDUCTOR CORCOMMON STOCKS ** 5,202,706 
LPL FINL HLDGS INCCOMMON STOCKS ** 2,703,440 
LULULEMON ATHLETICA INCCOMMON STOCKS ** 2,229,308 
LYFT INCCOMMON STOCKS ** 2,467,529 
MARQETA INC CL ACOMMON STOCKS ** 374,958 
MATCH GROUP INCCOMMON STOCKS ** 4,485,391 
MONOLITHIC POWER SYS INCCOMMON STOCKS ** 1,449,404 
MSCI INCCOMMON STOCKS ** 5,244,014 
NASDAQ INCCOMMON STOCKS ** 4,613,080 
NEOGENOMICS INCCOMMON STOCKS ** 1,490,873 
NEW YORK TIMES CO CL ACOMMON STOCKS ** 2,990,108 
ON SEMICONDUCTOR CORPCOMMON STOCKS ** 2,500,475 
ROKU INC CLASS ACOMMON STOCKS ** 2,883,763 
SOFI TECH INCCOMMON STOCKS ** 1,304,025 
SPOTIFY TECH SACOMMON STOCKS ** 1,131,535 
SVB FINL GROUPCOMMON STOCKS ** 5,716,207 
SYNOPSYS INCCOMMON STOCKS ** 4,356,407 
TELEDYNE TECH INCCOMMON STOCKS ** 3,632,303 
TOAST INCCOMMON STOCKS ** 922,661 
TRADEWEB MARKETS INC ACOMMON STOCKS ** 4,849,079 
TRANSUNIONCOMMON STOCKS ** 4,116,742 
TREX CO INCCOMMON STOCKS ** 1,879,348 
TRIMBLE INCCOMMON STOCKS ** 3,461,879 
TYLER TECH INCCOMMON STOCKS ** 2,717,185 
VEEVA SYS INC CL ACOMMON STOCKS ** 6,819,017 
WAYFAIR INCCOMMON STOCKS ** 1,092,328 
WEST PHARMACEUTICAL SVCSCOMMON STOCKS ** 5,071,405 
YETI HLDGS INCCOMMON STOCKS ** 2,287,269 
ZOOMINFO TECH INCCOMMON STOCKS ** 3,354,836 
ZSCALER INCCOMMON STOCKS ** 5,041,025 
ZYNGA INCCOMMON STOCKS ** 4,207,270 

20







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
Artisan Midcap Investor Fund Total229,005,323 
METWEST TOTAL RETURN FUND
BBH STIF FUNDMONEY MARKET FUND **11,782,874 
ABBVIE INCCORPORATE DEBT - 3.80%, 2025 ** 212,895 
ABBVIE INC CORPORATE DEBT - 4.05%, 2039 ** 80,313 
ABBVIE INC CORPORATE DEBT - 4.40%, 2042 ** 238,641 
ABBVIE INC CORPORATE DEBT - 4.55%, 2035 ** 210,418 
ACE SEC CORP HOME EQ LN TASSET BACKED SECURITIES - Variable, 2034 ** 685,612 
AERCAP IRELAND CAP LTD CORPORATE DEBT - 3.88%, 2028 ** 100,733 
AERCAP IRELAND CAP LTD CORPORATE DEBT - 3.30%, 2032 ** 708,046 
AGL CLO ASSET BACKED SECURITIES - Variable, 2034 ** 578,764 
AHM 2004-4 4A 6ML+200MTGE BACKED SECURITIES - Variable, 2045 ** 62,858 
AIG CLO 2019-2 LTD 3ML+16ASSET BACKED SECURITIES - Variable, 2033 ** 599,998 
AIMCO CLO 11 LTD 3ML+113ASSET BACKED SECURITIES - Variable, 2034 ** 274,356 
AIR LEASE CORP CORPORATE DEBT - 3.25%, 2025 ** 280,162 
AJAX MORTGAGE LOAN TR 201ASSET BACKED SECURITIES - 2.96%, 2065 ** 684,057 
ALIMENTATION COUCHE-TARDCORPORATE DEBT - 3.55%, 2027 ** 508,877 
AMERICAN AIRLS 2013-1A 4.ASSET BACKED SECURITIES - 4.00%, 2027 ** 183,312 
AMMC CLO 19 LTD / AMMC CLASSET BACKED SECURITIES - Variable, 2028 ** 297,118 
ANHEUSER-BUSCH COS LLC /CORPORATE DEBT - 4.70%, 2036 ** 165,333 
ANHEUSER-BUSCH COS LLC /CORPORATE DEBT - 4.90%, 2046 ** 543,492 
AREIT 2019-CRE3 TR 1ML+10MTGE BACKED SECURITIES - Variable, 2036 ** 292,853 
AT&T INCCORPORATE DEBT - 2.55%, 2033 ** 386,327 
AT&T INCCORPORATE DEBT - 3.80%, 2057 ** 552,804 
AT&T INCCORPORATE DEBT - 4.30%, 2042 ** 270,959 
AT&T INCCORPORATE DEBT - 4.75%, 2046 ** 295,871 
AT&T INCCORPORATE DEBT - 4.85%, 2039 ** 143,433 
AT&T INCCORPORATE DEBT - 5.25%, 2037 ** 525,688 
ATHENE GLOBAL FUNDING CORPORATE DEBT - 1.99%, 2028 ** 534,432 
AVOLON HLDGS FUNDING LTDCORPORATE DEBT - 2.53%, 2027 ** 316,668 
AVOLON HLDGS FUNDING LTDCORPORATE DEBT - 2.88%, 2025 ** 288,509 
BAMLL COMMERCIAL MORTGAGEMTGE BACKED SECURITIES - Variable, 2038 ** 356,646 
BANK OF AMERICA CORPORATICORPORATE DEBT - Variable, 2029 ** 536,518 

21







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
BANK OF AMERICA CORPORATICORPORATE DEBT - Variable, 2023 ** 214,341 
BANK OF AMERICA CORPORATICORPORATE DEBT - Variable, 2026 ** 114,894 
BANK OF AMERICA CORPORATICORPORATE DEBT - Variable, 2025 ** 925,543 
BANK OF AMERICA CORPORATICORPORATE DEBT - Variable, 2029 ** 670,256 
BAT CAPITAL CORP CORPORATE DEBT - 4.39%, 2037 ** 263,412 
BAT CAPITAL CORP CORPORATE DEBT - 4.54%, 2047 ** 596,119 
BAYER US FIN II LLCCORPORATE DEBT - 4.25%, 2025 ** 113,567 
BAYER US FIN II LLC CORPORATE DEBT - 4.38%, 2028 ** 524,962 
BAYER US FIN II LLC CORPORATE DEBT - 4.63%, 2038 ** 367,813 
BAYER US FIN II LLC CORPORATE DEBT - 4.88%, 2048 ** 239,656 
BEAR STEARNS ARM TR CSTRMTGE BACKED SECURITIES - Variable, 2033 ** 282,980 
BERRY GLOBAL INC 1.57 01/CORPORATE DEBT - 1.57%, 2026 ** 332,697 
BFLD TR 2019-DPLO 1ML+109MTGE BACKED SECURITIES - Variable, 2034 ** 682,176 
BOEING CO CORPORATE DEBT - 1.17%, 2023 ** 470,048 
BROADCOM INC CORPORATE DEBT - 4.30%, 2032 ** 112,378 
BX TR 2019-OC11MTGE BACKED SECURITIES - 3.20%, 2041 ** 136,989 
CALI MTG TR 2019-101C MTGE BACKED SECURITIES - 3.96%, 2039 ** 254,995 
CAMB COML MTG TR 2019-LIFMTGE BACKED SECURITIES - Variable, 2037 ** 562,930 
CEDAR FDG XII CLO LTD / CASSET BACKED SECURITIES - Variable, 2034 ** 598,604 
CHARTER COMM OPERATING LLCORPORATE DEBT - 4.91%, 2025 ** 220,222 
CHARTER COMM OPERATING LLCORPORATE DEBT - 5.75%, 2048 ** 124,706 
CHARTER COMM OPERATING LLCORPORATE DEBT - 4.80%, 2050 ** 268,712 
CIGNA CORP CORPORATE DEBT - 4.13%, 2025 ** 328,085 
CITI 3Y30Y SWAPTION P 2.7FIXED INCOME OPTIONS ** 23,292 
CITIGROUP INCCORPORATE DEBT - Variable, 2027 ** 309,626 
CITIGROUP INC CORPORATE DEBT - Variable, 2031 ** 199,860 
COLLEGIATE FDG SVCS ED LNASSET BACKED SECURITIES - Variable, 2035 ** 972,190 
COMMONSPIRIT HEALTH CORPORATE DEBT - 2.78%, 2030 ** 347,997 
CONTL AIR INC CORPORATE DEBT - 5.98%, 2023 ** 21,269 
CPT MORTGAGE TR 2019 MTGE BACKED SECURITIES - 2.87%, 2039 ** 255,161 
CREDIT SUISSE GRP AG CORPORATE DEBT - Variable, 2027 ** 326,816 
CREDIT SUISSE GRP AG CORPORATE DEBT - Variable, 2026 ** 188,913 
CREDIT SUISSE GRP AG CORPORATE DEBT - Variable, 2025 ** 254,388 
CREDIT SUISSE GRP AG SOFRCORPORATE DEBT - Variable, 2032 ** 352,649 

22







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
CSMC 2018-RPL9 TR MTGE BACKED SECURITIES - 3.85%, 2057 ** 512,281 
CURRENCY CONTRACT - USDFORWARD CURRENCY CONTRACT ** 2,280,912 
CURRENCY CONTRACT - USDFORWARD CURRENCY CONTRACT ** (2,261,223)
CVS HEALTH CORP CORPORATE DEBT - 5.05%, 2048 ** 536,050 
CVS HEALTH CORPCORPORATE DEBT - 5.13%, 2045 ** 188,480 
CYRUSONE LP/CYRUSONE FINCORPORATE DEBT - 2.90%, 2024 ** 557,393 
DC OFFC TR 2019 MTGE BACKED SECURITIES - 2.97%, 2045 ** 276,438 
DISCOVER FIN SVSCORPORATE DEBT - 3.95%, 2024 ** 329,695 
DNB BANK ASA CORPORATE DEBT - Variable, 2028 ** 336,645 
DUKE ENERGY CAROLINAS LLCCORPORATE DEBT - 3.75%, 2045 ** 552,821 
DUKE ENERGY PROGRESS LLCCORPORATE DEBT - 4.20%, 2045 ** 297,145 
ENERGY TRANSFER LPCORPORATE DEBT - 5.15%, 2045 ** 493,842 
ENERGY TRANSFER LPCORPORATE DEBT - 5.40%, 2047 ** 673,568 
EURO 1YR MID-CRV FUT SEP2FIXED INCOME OPTIONS ** (34,594)
EURO 1YR MID-CRV FUT SEP2FIXED INCOME OPTIONS ** 60,750 
EURO 1YR MID-CRV FUT SEP2FIXED INCOME OPTIONS ** (33,750)
EURO 2YR MID-CRV FUT SEP2FIXED INCOME OPTIONS ** (56,469)
EURO 2YR MID-CRV FUT SEP2FIXED INCOME OPTIONS ** (44,281)
EXXON MOBIL CORP CORPORATE DEBT - 4.23%, 2040 ** 17,708 
EXXON MOBIL CORP CORPORATE DEBT - 4.33%, 2050 ** 454,305 
FARMERS EXCHANGE CAP IIICORPORATE DEBT - Variable, 2054 ** 868,049 
FEDERAL HOME LN MTG MLT CMTGE BACKED SECURITIES - Variable, 2053 ** 757,236 
FEDERAL NAT MTG ASN GTD RMTGE BACKED SECURITIES - Variable, 2050 ** 118,069 
FEDERAL NAT MTG ASN GTD RASSET BACKED SECURITIES - 4.00%, 2047 ** 340,951 
FEDERAL NATL MTG AS GTD RMTGE BACKED SECURITIES - 3.00%, 2048 ** 263,833 
FEDERAL NATL MTG AS GTD RMTGE BACKED SECURITIES - 3.50%, 2047 ** 211,329 
FEDERAL NATL MTG AS GTD RMTGE BACKED SECURITIES - 3.50%, 2047 ** 50,712 
FEDERAL NATL MTG AS GTD RMTGE BACKED SECURITIES - 3.00%, 2049 ** 212,678 
FHLG 15YR MTGE BACKED SECURITIES - 2.50%, 2032 ** 146,187 
FHLG 15YR MTGE BACKED SECURITIES - 3.00%, 2032 ** 67,979 
FHLG 15YR MTGE BACKED SECURITIES - 3.00%, 2032 ** 113,768 
FHLG 15YR MTGE BACKED SECURITIES - 3.00%, 2033 ** 25,011 

23







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
FHLG 15YR MTGE BACKED SECURITIES - 3.50%, 2034 ** 259,322 
FHLG 15YR MTGE BACKED SECURITIES - 3.50%, 2033 ** 230,768 
FHLG 15YR MTGE BACKED SECURITIES - 3.50%, 2033 ** 75,691 
FHLG 20YRMTGE BACKED SECURITIES - 3.00%, 2038 ** 136,004 
FHLG 30YRMTGE BACKED SECURITIES - 3.00%, 2046 ** 22,540 
FHLG 30YRMTGE BACKED SECURITIES - 3.00%, 2046 ** 443,423 
FHLG 30YRMTGE BACKED SECURITIES - 3.00%, 2046 ** 244,952 
FHLG 30YRMTGE BACKED SECURITIES - 3.00%, 2046 ** 171,043 
FHLG 30YRMTGE BACKED SECURITIES - 3.00%, 2046 ** 337,249 
FHLG 30YRMTGE BACKED SECURITIES - 3.00%, 2046 ** 124,221 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 239,669 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 1,082,053 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 38,283 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 446,629 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 851,877 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2045 ** 847,563 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2047 ** 893,487 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 33,573 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2046 ** 318,651 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2046 ** 617,149 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2046 ** 110,123 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2047 ** 35,293 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2046 ** 196,452 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 836,174 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2047 ** 162,676 
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2047 ** 102,094 

24







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
FHLG 30YRMTGE BACKED SECURITIES - 3.50%, 2047 ** 101,513 
FHLG 30YRMTGE BACKED SECURITIES - 4.00%, 2045 ** 377,507 
FHLG 30YRMTGE BACKED SECURITIES - 4.00%, 2048 ** 927,560 
FHLG 30YRMTGE BACKED SECURITIES - 4.00%, 2047 ** 58,797 
FHLG 30YRMTGE BACKED SECURITIES - 4.00%, 2048 ** 66,621 
FHLG 30YRMTGE BACKED SECURITIES - 4.00%, 2045 ** 610,051 
FHLG 30YRMTGE BACKED SECURITIES - 5.00%, 2048 ** 73,278 
FHLG 30YRMTGE BACKED SECURITIES - 5.00%, 2048 ** 124,444 
FHLG 30YRMTGE BACKED SECURITIES - 5.00%, 2048 ** 19,229 
FNMA 15YR MTGE BACKED SECURITIES - 3.00%, 2032 ** 108,129 
FNMA 20YR MTGE BACKED SECURITIES - 2.00%, 2040 ** 1,035,154 
FNMA 20YR MTGE BACKED SECURITIES - 2.00%, 2040 ** 906,051 
FNMA 30YRMTGE BACKED SECURITIES - 2.46%, 2040 ** 408,560 
FNMA 30YRMTGE BACKED SECURITIES - 3.00%, 2047 ** 137,051 
FNMA 30YRMTGE BACKED SECURITIES - 3.00%, 2049 ** 592,226 
FNMA 30YRMTGE BACKED SECURITIES - 3.00%, 2046 ** 455,955 
FNMA 30YRMTGE BACKED SECURITIES - 3.39%, 2029 ** 332,377 
FNMA 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 19,596 
FNMA 30YRMTGE BACKED SECURITIES - 3.50%, 2048 ** 263,641 
FNMA 30YRMTGE BACKED SECURITIES - 3.50%, 2047 ** 101,617 
FNMA 30YRMTGE BACKED SECURITIES - 3.50%, 2044 ** 358,215 
FNMA 30YRMTGE BACKED SECURITIES - 4.00%, 2047 ** 88,168 
FNMA 30YRMTGE BACKED SECURITIES - 4.00%, 2047 ** 70,865 
FNMA 30YRMTGE BACKED SECURITIES - 4.00%, 2047 ** 351,540 
FNMA 30YRMTGE BACKED SECURITIES - 4.00%, 2043 ** 146,247 

25







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
FNMA 30YRMTGE BACKED SECURITIES - 4.50%, 2047 ** 1,379,970 
FORD MTR CR CO LLC FRN 3MCORPORATE DEBT - Variable, 2022 ** 59,971 
FREDDIE MAC REMICS 2018-4MTGE BACKED SECURITIES - 4.00%, 2047 ** 80,563 
FRESENIUS MEDICAL CARE USCORPORATE DEBT - 1.88%, 2026 ** 227,524 
FUTURES CASH COLLATERALCASH COLLATERAL  ** 332,000 
GALLAGHER (ARTHUR J.) & CCORPORATE DEBT - 3.05%, 2052 ** 222,436 
GE CAPITAL INTL FUNDING CCORPORATE DEBT - 4.42%, 2035 ** 326,981 
GEN ELECTRIC CO CORPORATE DEBT - 6.75%, 2032 ** 147,285 
GEN MTRS FINL CO INCCORPORATE DEBT - 3.15%, 2022 ** 187,082 
GEN MTRS FINL CO INCCORPORATE DEBT - 3.45%, 2022 ** 50,153 
GLOBAL PAYMENTS INCCORPORATE DEBT - 1.50%, 2024 ** 345,048 
GLP CAP LP / GLP FING IICORPORATE DEBT - 3.35%, 2024 ** 95,508 
GLP CAP LP / GLP FING IICORPORATE DEBT - 5.30%, 2029 ** 361,910 
GLP CAP LP / GLP FING IICORPORATE DEBT - 5.38%, 2026 ** 402,996 
GLP CAP LP / GLP FING IICORPORATE DEBT - 5.38%, 2023 ** 36,242 
GNII 30YR MTGE BACKED SECURITIES - 3.00%, 2049 ** 182,623 
GNII 30YR MTGE BACKED SECURITIES - 3.50%, 2049 ** 15,340 
GNII IIMTGE BACKED SECURITIES - 2.00%, 2052 ** 2,267,549 
GNII IIMTGE BACKED SECURITIES - 2.50%, 2052 ** 1,768,185 
GNII IIMTGE BACKED SECURITIES - 2.50%, 2052 ** 1,457,557 
GNII IIMTGE BACKED SECURITIES - 3.00%, 2047 ** 415,969 
GNII IIMTGE BACKED SECURITIES - 3.00%, 2047 ** 61,003 
GNII IIMTGE BACKED SECURITIES - 3.00%, 2046 ** 357,481 
GNII IIMTGE BACKED SECURITIES - 3.50%, 2048 ** 292,176 
GNII IIMTGE BACKED SECURITIES - 3.50%, 2046 ** 180,797 
GNII IIMTGE BACKED SECURITIES - 3.50%, 2046 ** 197,614 
GNII IIMTGE BACKED SECURITIES - 3.50%, 2047 ** 277,641 
GNII IIMTGE BACKED SECURITIES - 3.50%, 2046 ** 49,796 
GNII IIMTGE BACKED SECURITIES - 3.50%, 2046 ** 188,095 
GNII IIMTGE BACKED SECURITIES - 3.50%, 2046 ** 85,503 

26







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
GNII IIMTGE BACKED SECURITIES - 3.50%, 2047 ** 56,037 
GNII IIMTGE BACKED SECURITIES - 4.00%, 2048 ** 254,180 
GNII IIMTGE BACKED SECURITIES - 4.00%, 2048 ** 204,808 
GNII IIMTGE BACKED SECURITIES - 4.00%, 2048 ** 113,140 
GNII IIMTGE BACKED SECURITIES - 4.00%, 2047 ** 135,854 
GNII IIMTGE BACKED SECURITIES - 4.00%, 2047 ** 43,964 
GNII IIMTGE BACKED SECURITIES - 4.50%, 2047 ** 350,680 
GNII IIMTGE BACKED SECURITIES - 4.50%, 2048 ** 166,011 
GNII IIMTGE BACKED SECURITIES - 5.00%, 2047 ** 70,287 
GNII IIMTGE BACKED SECURITIES - 5.00%, 2046 ** 218,983 
GNII IIMTGE BACKED SECURITIES - 5.00%, 2044 ** 168,741 
GOLDENTREE LOAN OPPORTUNIASSET BACKED SECURITIES - Variable, 2057 ** 550,184 
GOLDMAN SACHS GROUP INC CORPORATE DEBT - Variable, 2025 ** 335,758 
GOLDMAN SACHS GROUP INC CORPORATE DEBT - 3.20%, 2023 ** 225,627 
GOLDMAN SACHS GROUP INC CORPORATE DEBT - Variable, 2027 ** 568,182 
GOLDMAN SACHS GROUP INC CORPORATE DEBT - Variable, 2027 ** 117,569 
GOLDMAN SACHS GROUP INC CORPORATE DEBT - Variable, 2024 ** 89,613 
GOLDMAN SACHS GROUP INC CORPORATE DEBT - 1.22%, 2023 ** 576,469 
GOVERNMENT NAT MTG AS REMMTGE BACKED SECURITIES - 2.63%, 2039 ** 496,262 
GOVERNMENT NATL MTG ASN MMTGE BACKED SECURITIES - 3.50%, 2048 ** 179,948 
GS MTG BACKED SECS TR 201MTGE BACKED SECURITIES - 3.75%, 2057 ** 507,859 
GS MTG SECS CORP TR 2021MTGE BACKED SECURITIES - Variable, 2036 ** 791,437 
GSAA 05-6 M1 1ML+43 ASSET BACKED SECURITIES - Variable, 2035 ** 625,103 
HCA INC CORPORATE DEBT - 2.38%, 2031 ** 103,368 
HCA INC CORPORATE DEBT - 4.75%, 2023 ** 104,737 
HCA INC CORPORATE DEBT - 5.00%, 2024 ** 317,207 
HCA INC CORPORATE DEBT - 5.13%, 2039 ** 283,252 
HCA INC CORPORATE DEBT - 5.25%, 2049 ** 449,512 
HEALTHCARE REALTY TR INCCORPORATE DEBT - 3.88%, 2025 ** 238,606 

27







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
HMBT 2005-4 A1 1ML+27MTGE BACKED SECURITIES - Variable, 2035 ** 451,852 
HSBC HLDGS PLC CORPORATE DEBT - Variable, 2027 ** 425,401 
HSBC HLDGS PLC CORPORATE DEBT - Variable, 2028 ** 327,930 
HSBC HLDGS PLC CORPORATE DEBT - Variable, 2029 ** 308,896 
HSBC HLDGS PLC CORPORATE DEBT - Variable, 2027 ** 290,604 
HSBC HLDGS PLC CORPORATE DEBT - Variable, 2025 ** 51,284 
HUDSON YDS 2019-30HY MTGMTGE BACKED SECURITIES - 3.23%, 2039 ** 234,651 
HUDSON YDS 2019-55HY MTGMTGE BACKED SECURITIES - Variable, 2041 ** 277,444 
HVMLT 2005-9 2A1A 1ML+34MTGE BACKED SECURITIES - Variable, 2035 ** 456,712 
IHS MARKIT LTD CORPORATE DEBT - 3.63%, 2024 ** 325,113 
IHS MARKIT LTD CORPORATE DEBT - 4.00%, 2026 ** 324,201 
IMPERIAL BRANDS FINANCE PCORPORATE DEBT - 3.13%, 2024 ** 227,326 
IMPERIAL BRANDS FINANCE PCORPORATE DEBT - 3.50%, 2023 ** 219,003 
INDIANA MICHIGAN POWER COCORPORATE DEBT - 4.55%, 2046 ** 366,115 
INTEL CORP CORPORATE DEBT - 3.05%, 2051 ** 217,876 
INTL FLAVS & FRAG INC CORPORATE DEBT - 2.30%, 2030 ** 107,862 
INTL FLAVS & FRAG INC CORPORATE DEBT - 5.00%, 2048 ** 115,682 
INTL TRANSMISSION CO CORPORATE DEBT - 4.63%, 2043 ** 742,599 
J.P. MORGAN MORTGAGE TR 2MTGE BACKED SECURITIES - 2.50%, 2052 ** 1,135,774 
JAPAN GOVERNMENTFOREIGN OBLIGATIONS - 0.00%, 2022 ** 2,260,666 
JBS USA LUX SA / JBS FOODCORPORATE DEBT - 3.00%, 2032 ** 150,000 
JP MORGAN CHASE COML MTGMTGE BACKED SECURITIES - 3.40%, 2039 ** 231,930 
JP MORGAN CM SECURITIES TMTGE BACKED SECURITIES - Variable, 2038 ** 228,155 
JP MORGAN MORTGAGE TR 202MTGE BACKED SECURITIES - 2.50%, 2052 ** 1,076,335 
JPMORGAN CHASE & CO CORPORATE DEBT - Variable, 2025 ** 236,197 
JPMORGAN CHASE & CO CORPORATE DEBT - Variable, 2025 ** 183,199 
JPMORGAN CHASE & CO CORPORATE DEBT - Variable, 2025 ** 350,373 
JPMORGAN CHASE & CO CORPORATE DEBT - Variable, 2027 ** 335,993 
JPMORGAN CHASE & CO CORPORATE DEBT - Variable, 2026 ** 379,422 
JPMORGAN CHASE & CO CORPORATE DEBT - Variable, 2026 ** 228,368 
KINDER MORGAN INC DELCORPORATE DEBT - 5.55%, 2045 ** 183,327 
KRAFT HEINZ FOODS CO CORPORATE DEBT - 4.38%, 2046 ** 226,003 
KRAFT HEINZ FOODS CO CORPORATE DEBT - 4.88%, 2049 ** 647,768 
LA CA USD MUNICIPAL BONDS - 5.98%, 2027 ** 635,517 

28







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
LCM XIII LP ARR 3ML+114 0ASSET BACKED SECURITIES - Variable, 2027 ** 610,988 
LCM XIX LTD PARTNERSHIP/LASSET BACKED SECURITIES - Variable, 2027 ** 151,100 
LEVEL 3 FINANCING INC CORPORATE DEBT - 3.88%, 2029 ** 432,438 
LLOYDS BANKING GROUP PLCCORPORATE DEBT - Variable, 2027 ** 127,014 
LLOYDS BANKING GROUP PLCCORPORATE DEBT - Variable, 2023 ** 155,600 
LLOYDS BANKING GROUP PLCCORPORATE DEBT - Variable, 2023 ** 221,839 
LLOYDS BANKING GROUP PLCCORPORATE DEBT - Variable, 2025 ** 408,549 
MACQUARIE GROUP LTD CORPORATE DEBT - Variable, 2027 ** 223,777 
MACQUARIE GROUP LTD CORPORATE DEBT - Variable, 2033 ** 338,971 
MET WEST:FLT RT INC;IMUTUAL FUNDS  ** 4,384,559 
MET WEST:HIGH YLD BD;IMUTUAL FUNDS  ** 2,551,604 
MHL 05-2 1A1 1ML+27 MTGE BACKED SECURITIES - Variable, 2035 ** 98,192 
MKT 2020-525M MTG TRMTGE BACKED SECURITIES - 2.69%, 2040 ** 338,512 
MLCC 2004-A A1 1ML+23MTGE BACKED SECURITIES - Variable, 2029 ** 177,948 
MORGAN STANLEY CORPORATE DEBT - Variable, 2036 ** 778,799 
MORGAN STANLEY CAPITAL IASSET BACKED SECURITIES - Variable, 2027 ** 649,750 
MORGAN STANLEY SOFR CORPORATE DEBT - Variable, 2025 ** 346,550 
MORTGAGEIT TR 2005-5 A1 SMTGE BACKED SECURITIES - Variable, 2035 ** 339,504 
NATIONWIDE BUILDING SOCCORPORATE DEBT - Variable, 2024 ** 437,749 
NATIONWIDE BUILDING SOCCORPORATE DEBT - Variable, 2024 ** 125,668 
NATIONWIDE MUTUAL INSURANCORPORATE DEBT - Variable, 2024 ** 400,481 
NAVIENT STUDENT LN TR 201ASSET BACKED SECURITIES - Variable, 2040 ** 936,230 
NEW YORK LIFE INSURANCE CCORPORATE DEBT - 3.75%, 2050 ** 221,926 
NEW YORK ST DORM AUTH STMUNICIPAL BONDS - 5.29%, 2033 ** 601,090 
NSTR 2006-B AV4 1ML+28 ASSET BACKED SECURITIES - Variable, 2036 ** 58,443 
NY MTA TRANSP MUNICIPAL BONDS - 5.18%, 2049 ** 61,602 
NY NYC TRANSMUNICIPAL BONDS - 5.51%, 2037 ** 322,046 
NYU LANGONE HOSPITALS CORPORATE DEBT - 4.78%, 2044 ** 640,252 
ONE BRYANT PK TR 2019-OBPMTGE BACKED SECURITIES - 2.52%, 2054 ** 339,329 
ORACLE CORP CORPORATE DEBT - 2.80%, 2027 ** 123,718 
ORACLE CORP CORPORATE DEBT - 2.88%, 2031 ** 40,255 
ORACLE CORP CORPORATE DEBT - 3.85%, 2051 ** 457,805 
PARK AEROSPACE HLDGS LTDCORPORATE DEBT - 4.50%, 2023 ** 96,509 
PARK AEROSPACE HLDGS LTDCORPORATE DEBT - 5.50%, 2024 ** 175,452 

29







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
PARK AVE INSTL ADVISERS CASSET BACKED SECURITIES - Variable, 2034 ** 551,279 
PETROLEOS MEXICANOSCORPORATE DEBT - 6.75%, 2047 ** 520,675 
PETROLEOS MEXICANOS CORPORATE DEBT - 6.95%, 2060 ** 127,963 
PHEAA STUDENT LOAN TR 201ASSET BACKED SECURITIES - Variable, 2041 ** 415,174 
PLAINS ALL AM PIPELN/PAACORPORATE DEBT - 4.50%, 2026 ** 164,668 
POTOMAC ELECTRIC POWER COCORPORATE DEBT - 3.60%, 2024 ** 522,986 
RAMP SER 2006 EFC2 TR 1MLASSET BACKED SECURITIES - Variable, 2036 ** 836,592 
RBSCF 2013-GSP A CSTR MTGE BACKED SECURITIES - Variable, 2032 ** 455,634 
REYNOLDS AMERICAN INC CORPORATE DEBT - 5.70%, 2035 ** 35,548 
REYNOLDS AMERICAN INC CORPORATE DEBT - 5.85%, 2045 ** 243,008 
ROCKFORD TOWER CLO 2019-1ASSET BACKED SECURITIES - Variable, 2034 ** 598,411 
ROCKIES EXPRESS PIPELINECORPORATE DEBT - 4.80%, 2030 ** 319,434 
ROCKIES EXPRESS PIPELINECORPORATE DEBT - 4.95%, 2029 ** 260,625 
ROYAL BK SCOTLND GRP PLC(CORPORATE DEBT - Variable, 2025 ** 444,464 
SAN FRANCISCO W MUNICIPAL BONDS - 2.83%, 2041 ** 220,296 
SANTANDER UK GROUP HLDGSCORPORATE DEBT - Variable, 2025 ** 367,800 
SANTANDER UK GROUP HLDGSCORPORATE DEBT - Variable, 2026 ** 53,068 
SANTANDER UK GROUP HLDGSCORPORATE DEBT - Variable, 2024 ** 206,567 
SANTANDER UK GROUP HLDGSCORPORATE DEBT - Variable, 2024 ** 455,790 
SANTANDER UK PLC CORPORATE DEBT - 5.00%, 2023 ** 79,762 
SEQUOIA MTG TR 1ML+64 01MTGE BACKED SECURITIES - Variable, 2034 ** 463,493 
SL GREEN OPER PARTNERSHIPCORPORATE DEBT - 3.25%, 2022 ** 254,072 
SLC STUDENT LN TR 2008-1ASSET BACKED SECURITIES - Variable, 2032 ** 875,845 
SLM STUDENT LN TR 2008 3MASSET BACKED SECURITIES - Variable, 2083 ** 395,353 
SLM STUDENT LN TR 2008 5ASSET BACKED SECURITIES - Variable, 2073 ** 395,645 
SLM STUDENT LN TR 2008-2ASSET BACKED SECURITIES - Variable, 2083 ** 180,142 
SLM STUDENT LN TR 2008-4ASSET BACKED SECURITIES - Variable, 2073 ** 243,460 
SLM STUDENT LN TR 2008-8ASSET BACKED SECURITIES - Variable, 2075 ** 234,221 
SLM STUDENT LN TR 2012-1ASSET BACKED SECURITIES - Variable, 2028 ** 373,649 
SLM STUDENT LN TR 2012-7ASSET BACKED SECURITIES - Variable, 2026 ** 378,176 
SLM STUDENT LN TR 3ML+60ASSET BACKED SECURITIES - Variable, 2041 ** 1,191,192 

30







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
SLMA 2007-7 A4 3ML+33ASSET BACKED SECURITIES - Variable, 2022 ** 355,329 
SLMA 2008-6 A4 3ML+110 ASSET BACKED SECURITIES - Variable, 2023 ** 275,218 
SLMA 2008-9 A 3ML+150ASSET BACKED SECURITIES - Variable, 2023 ** 567,802 
SPRINT SPECTRUM CO LLC CORPORATE DEBT - 4.74%, 2029 ** 816,036 
SPRINT SPECTRUM CO LLC CORPORATE DEBT - 5.15%, 2029 ** 402,394 
STRUCTURED ASS MTG INVS IMTGE BACKED SECURITIES - Variable, 2034 ** 137,659 
SWAP COLLATERAL USDCASH COLLATERAL  ** 218,541 
TCW 2YR/2YR IRS R 1.0255INTEREST RATE SWAPS  ** 5,219,125 
TCW 2YR/2YR IRS R 1.39 09INTEREST RATE SWAPS  ** 5,826,824 
TCW 2YR/2YR IRS R 1.6875INTEREST RATE SWAPS  ** 6,309,779 
TCW 2YR/2YR IRS R 1.87 09INTEREST RATE SWAPS  ** 487,514 
TCW EMERGING MKT INCM LPMUTUAL FUNDS  ** 3,160,053 
TCW IRS 2 YR 30 YR 1.785INTEREST RATE SWAPS  ** 323,402 
TCW IRS 2YR/2YR 1.0725 07INTEREST RATE SWAPS  ** 2,611,981 
TCW IRS 2YR/2YR 1.8075 07INTEREST RATE SWAPS  ** 217,742 
TCW IRS 2YR/2YR IRS 1.033INTEREST RATE SWAPS  ** 3,850,700 
TCW IRS 2YR/30YR 1.7725 0INTEREST RATE SWAPS  ** 439,144 
TCW IRS SWAP 2YR 30YR P 1INTEREST RATE SWAPS  ** 527,753 
TENCENT HLDGS LTD CORPORATE DEBT - 3.68%, 2026 ** 237,159 
TIME WARNER CABLE LLC CORPORATE DEBT - 5.50%, 2026 ** 321,289 
T-MOBILE USA INC CORPORATE DEBT - 2.55%, 2031 ** 109,447 
T-MOBILE USA INC CORPORATE DEBT - 3.75%, 2027 ** 422,331 
T-MOBILE USA INC CORPORATE DEBT - 3.88%, 2030 ** 238,438 
TOWD PT MTG TR 2017-5 A1MTGE BACKED SECURITIES - Variable, 2057 ** 224,087 
TPMT 17-1 A1 MTGE BACKED SECURITIES - Variable, 2056 ** 230,216 
TPMT 2016-3MTGE BACKED SECURITIES - 2.25%, 2056 ** 41,335 
UMBS 15YRMTGE BACKED SECURITIES - 1.50%, 2037 ** 1,754,293 
UMBS 15YRMTGE BACKED SECURITIES - 2.00%, 2037 ** 2,915,194 
UMBS 30YR MTGE BACKED SECURITIES - 2.00%, 2052 ** 13,786,377 
UMBS 30YR MTGE BACKED SECURITIES - 2.50%, 2052 ** 16,526,058 
UMBS 30YR MTGE BACKED SECURITIES - 3.00%, 2052 ** 2,043,894 
UNITED STATES TREASURY BONDGOVERNMENT OBLIGATIONS - 2.25%, 2041 ** 2,750,768 

31







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
UNITED STATES TREASURY BONDGOVERNMENT OBLIGATIONS - 1.75%, 2041 ** 271,469 
UNITED STATES TREASURY BONDGOVERNMENT OBLIGATIONS - 1.88%, 2051 ** 12,861,685 
UNITED STATES TREASURY BONDGOVERNMENT OBLIGATIONS - 2.00%, 2041 ** 394,448 
UNITEDHEALTH GROUP INC CORPORATE DEBT - 3.05%, 2041 ** 240,722 
US 2YR NOTE (CBT) FUT MARFUTURES ** (2,399,891)
UST BILLSGOVERNMENT OBLIGATIONS - 0.00%, 2022 ** 2,304,986 
UST BILLSGOVERNMENT OBLIGATIONS - 0.00%, 2022 ** 1,749,940 
UST BILLSGOVERNMENT OBLIGATIONS - 0.00%, 2022 ** 2,883,923 
UST BILLSGOVERNMENT OBLIGATIONS - 0.00%, 2022 ** 1,389,169 
UST BILLSGOVERNMENT OBLIGATIONS - 0.00%, 2022 ** 2,727,828 
UST NOTES GOVERNMENT OBLIGATIONS - 0.25%, 2023 ** 1,042,617 
UST NOTES GOVERNMENT OBLIGATIONS - 0.38%, 2023 ** 11,809,927 
UST NOTES GOVERNMENT OBLIGATIONS - 0.50%, 2023 ** 18,339,524 
UST NOTES GOVERNMENT OBLIGATIONS - 0.75%, 2023 ** 6,026,177 
UST NOTES GOVERNMENT OBLIGATIONS - 0.88%, 2026 ** 939,916 
UST NOTES GOVERNMENT OBLIGATIONS - 1.13%, 2026 ** 9,258,109 
UST NOTES GOVERNMENT OBLIGATIONS - 1.25%, 2026 ** 14,735,784 
UST NOTES GOVERNMENT OBLIGATIONS - 1.25%, 2026 ** 8,196,026 
UST NOTES GOVERNMENT OBLIGATIONS - 1.38%, 2031 ** 6,101,784 
USTN TII GOVERNMENT OBLIGATIONS - 0.13%, 2051 ** 624,003 
VENTAS RLTY LTD PARTNERSHCORPORATE DEBT - 3.85%, 2027 ** 48,951 
VENTAS RLTY LTD PARTNERSHGOVERNMENT OBLIGATIONS - 2.50%, 2031 ** 158,398 
VERIZON COMM INC CORPORATE DEBT - 2.36%, 2032 ** 497,586 
VODAFONE GROUP PLCCORPORATE DEBT - 4.88%, 2049 ** 554,871 
WAMU 05-AR2 2A1A 1ML+31 MTGE BACKED SECURITIES - Variable, 2045 ** 248,173 
WAMU 2005-AR1 A1A 1ML+32MTGE BACKED SECURITIES - Variable, 2045 ** 249,897 
WAMU MTG PASS THROUGH CTFMTGE BACKED SECURITIES - Variable, 2045 ** 258,929 

32







FirstEnergy Corp. Savings Plan
Schedule H, line 4i - Schedule of Assets (Held at End of Year)
December 31, 2021
#34-1843785 Plan 002
_________________________________________________________________________________________________________________________________________________________
(a)(b)(c)(d)(e)
Identity of issue, borrower, lessor or similar partyDescription of investment, including maturity date, rate of interest, collateral, par or maturity valueCostCurrent Value
WELLMAN PARK CLO LTD ASSET BACKED SECURITIES - Variable, 2034 ** 579,030 
WELLS FARGO & CO NEW CORPORATE DEBT - Variable, 2026 ** 842,386 
WELLS FARGO & CO NEW CORPORATE DEBT - Variable, 2028 ** 431,940 
WFCM 2012-LC5 A3 MTGE BACKED SECURITIES - 2.92%, 2045 ** 391,114 
WFHET 2004-1 1A 1ML+30ASSET BACKED SECURITIES - Variable, 2034 ** 918,210 
Total Metwest Total Return Fund300,882,390 
Total Investments4,211,467,539 
*Notes receivable from participantsLoans receivable with repayment interest of 4.25% to 9.75%$— 47,405,958 
$4,258,873,497 
* Parties-in-interest
** Information is not required pursuant to Form 5500 instructions



33


EXHIBIT INDEX



FIRSTENERGY CORP. SAVINGS PLAN



Exhibit
Number Description


23.1     Consent of Independent Registered Public Accounting Firm



    SIGNATURE    


Pursuant to the requirements of the Securities Exchange Act of 1934, the Savings Plan Committee, the administrator of the FirstEnergy Corp. Savings Plan, has duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.


FIRSTENERGY CORP.
SAVINGS PLAN
Date: June 24, 2022
By/s/ Ana M. Fluke
Ana M. Fluke
Chairperson
Savings Plan Committee



Exhibit 23.1



CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM


We hereby consent to the incorporation by reference in the Registration Statements on Form S-8 (No. 333-202184, 333-110662, 333-48651 and 333-226788) of FirstEnergy Corp. of our report dated June 24, 2022, relating to the financial statements and schedule of the FirstEnergy Corp. Savings Plan, which appears in this Form 11-K.




/S/ BOBER, MARKEY, FEDOROVICH & COMPANY
Cleveland, Ohio

June 24, 2022