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    SEC Form 11-K filed by Paramount Skydance Corporation

    6/26/26 5:08:28 PM ET
    $PSKY
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    psky-20260626
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C2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | ALPHABET INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | AMAZON.COM INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | AMERICAN ELECTRIC POWER CO INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | ANHEUSER-BUSCH INBEV SPN ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | ARCHER DANIELS MIDLAND CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | AVANTOR INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | BAKER HUGHES CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | BANK OF NEW YORK MELLON CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | BAXTER INTL INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | BIOMARIN PHARMACEUTICAL INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | THE BOOKING HOLDINGS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | BRISTOL-MYERS SQUIBB CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | CIGNA GROUP (THE)2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | CVS HEALTH CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | CAPITAL ONE FINANCIAL CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | CARRIER GLOBAL CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | CELANESE CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | CHARTER COMMUNICATIONS INC A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | COGNIZANT TECH SOLUTIONS CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | COMCAST CORP CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | CONOCOPHILLIPS2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | DOMINION ENERGY INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | ELANCO ANIMAL HEALTH INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | META PLATFORMS INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | FEDEX CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | FIDELITY NATL INFORM SVCS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | FIRST CITIZENS BANCSHARES INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | FISERV INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | FORTIVE CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | FOX CORP CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | FOX CORPORATION B2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | GE HEALTHCARE TECHNOLOGIES INC WI2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | ARTHUR J GALLAGHAR AND CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | GAMING AND LEISURE PROPRTI INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | GE AEROSPACE2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | GILEAD SCIENCES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | GSK PLC SPONS ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | GOLDMAN SACHS GROUP INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | HP INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | HALEON PLC SPONS ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | HUMANA INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | IDEX CORPORATION2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | INCYTE CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | INTERNATIONAL FLAVORS & FRAGRA2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | LPL FINL HLDGS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | METLIFE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | MICROSOFT CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | MICROCHIP TECHNOLOGY2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | MOLSON COORS BEVERAGE CO B2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | NEUROCRINE BIOSCIENCES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | NEWS CORP NEW CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | NORFOLK SOUTHERN CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | NOVARTIS AG SPON ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | OCCIDENTAL PETROLEUM CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | RALLIANT CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | RTX CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | REGENERON PHARMACEUTICALS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | ROCHE HOLDING LTD SPON ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | SBA COMMUNICATIONS CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | SANOFI SPON ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | SCHWAB CHARLES CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | SUN COMMUNITIES INC - REIT2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | T-MOBILE US INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | TELEDYNE TECHNOLOGIES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | TRANSUNION2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | UNITEDHEALTH GROUP INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | VF CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | WELLS FARGO & CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | ZIMMER BIOMET HLDGS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | LYONDELLBASELL INDS CLASS A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | WILLIS TOWERS WATSON PLC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | AON PLC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | BROOKFIELD CORP CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | TE CONNECTIVITY PLC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | MEDTRONIC PLC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | JOHNSON CONTROLS INTERNATIONAL PLC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | STATE STREET CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Dodge & Cox | NET PAYABLES2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ABBOTT LABORATORIES2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ABBVIE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ALPHABET INC CL C2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | AMAZON.COM INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ELEVANCE HEALTH INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | APPLE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | APPLIED MATERIALS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ASTRAZENECA PLC SPONS ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | BNPSA2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | BANK OF AMERICA CORPORATION2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | THE BOOKING HOLDINGS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | CIGNA GROUP (THE)2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | CME GROUP INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | DELTA AIR INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ESSILORLUXOTTICA ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | META PLATFORMS INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | FISERV INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | GENERAL DYNAMICS CORPORATION2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | HCA HEALTHCARE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ING GROEP NV SPON ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | JPMORGAN CHASE & CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | LOCKHEED MARTIN CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | MASTERCARD INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | MICROSOFT CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | NATWEST GROUP PLC SPON ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | NESTLE SA REG ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | NORTHROP GRUMMAN CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | PEPSICO INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | PROCTER & GAMBLE CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | RTX CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ROCHE HOLDING LTD SPON ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | State Street SPDR S&P 500 ETF2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | SALESFORCE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | SIEMENS AG SPON ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | SUMITOMO MITSUI FINL GRP ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | SYNCHRONY FINANCIAL2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | TAIWAN SEMIC MFG CO LTD SP ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | TRIP.COM GROUP LTD ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | TRUIST FINL CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ULTA BEAUTY INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | UNILEVER PLC SPONS ADR2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | UNITED AIRLINES HOLDINGS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | UNITEDHEALTH GROUP INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | VISA INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | ACCENTURE PLC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | SEAGATE TECHNOLOGY HOLDINGS PLC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sanders Capital | NET PAYABLES2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | ALPHABET INC CL C2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | AMAZON.COM INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | AMERICAN EXPRESS CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | APPLE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | ARM HOLDINGS LTD2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | BROADCOM INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | CHIPOTLE MEXICAN GRILL INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | COOPER COMPANIES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | DANAHER CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | ECOLAB INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | META PLATFORMS INC CL 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Growth Advisors | SALESFORCE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | SERVICENOW INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | SYNOPSYS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | UNITEDHEALTH GROUP INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | VISA INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | WASTE MANAGEMENT INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | YUM BRANDS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | AON PLC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | CANADIAN PACIFIC KANSAS CITY LTD2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Sustainable Growth Advisors | NET PAYABLES2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | API GROUP CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | ADVANCED ENERGY INDUSTRIES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | AGILYSYS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | BWX TECHNOLOGIES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | BRINKS CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | BRIXMOR PPTY GROUP INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | CCC INTELLIGENT SOLUTIONS HOLD CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | CABOT CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | CACI INTERNATIONAL INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | CLEAN HARBORS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | COHERENT CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | COLUMBIA BANKING SYSTEMS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | CAE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | CRANE NXT CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | DOLBY LABORATORIES INC CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | DORMAN PRODUCTS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | ENTEGRIS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | GLACIER BANCORP INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | GRACO INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | HALOZYME THERAPEUTICS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | HEICO CORP CL A2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | IDEX CORPORATION2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | INGREDION INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | KBR INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | MCGRATH RENTCORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | MERCURY SYSTEMS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | MINERALS TECHNOLOGIES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | PDF SOLUTIONS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | POWER INTEGRATIONS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | PROSPERITY BANCSHARES INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | RLI CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | RBC BEARINGS INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | SENSIENT TECHNOLOGIES CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | SIMPSON MANUFACTURING CO2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | UGI CORP NEW2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | UNITED COMMUNITY BANKS GA2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | VALVOLINE INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | VERRA MOBILITY CORP2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | WEX INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | WOODWARD INC2025-12-310002041610psky:EBP401kPlanMemberSeparately Managed Accounts | Snyder Capital Management | NET PAYABLES2025-12-31

    UNITED STATES
    SECURITIES AND EXCHANGE COMMISSION
    Washington, D.C. 20549


    FORM 11-K


    (Mark One)
    x
    Annual Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
    For the fiscal year ended December 31, 2025

    OR
    oTransition Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
    Commission file number 001-09553



    PARAMOUNT GLOBAL 401(k) PLAN
    (Full title of the plan)



    PARAMOUNT SKYDANCE CORPORATION
    (Name of issuer of the securities held pursuant to the plan)


    1515 Broadway
    New York, New York 10036
    (Address of principal executive office)




    PARAMOUNT GLOBAL 401(k) PLAN

    FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULES
    DECEMBER 31, 2025 AND 2024

    INDEX

    Page
    Report of Independent Registered Public Accounting Firm
    1
    Financial Statements:
    Statements of Net Assets Available for Benefits at December 31, 2025 and 2024
    2
    Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2025
    3
    Notes to Financial Statements
    4
    Schedules
    Supplemental Schedules:
    Schedule H, line 4a - Schedule of Delinquent Participant Contributions
    S - 1
    Schedule H, line 4i - Schedule of Assets (Held at End of Year)
    S - 2
    All other schedules required by the Department of Labor’s Rules and Regulations for Reporting and
    Disclosure under the Employee Retirement Income Security Act of 1974 are omitted as not
    applicable or not required.
    Signature
    Exhibit:
    23.1 Consent of Independent Registered Public Accounting Firm




    Report of Independent Registered Public Accounting Firm

    To the Paramount Global Administrative Committee and Plan Participants of Paramount Global 401(k) Plan

    Opinion on the Financial Statements

    We have audited the accompanying statements of net assets available for benefits of Paramount Global 401(k) Plan (the “Plan”) as of December 31, 2025, and December 31, 2024, and the related statement of changes in net assets available for benefits for the year ended December 31, 2025, including 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, 2025 and 2024, and the changes in net assets available for benefits for the year ended December 31, 2025 in conformity with accounting principles generally accepted in the United States of America.

    Basis 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 of these financial statements 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.

    Supplemental Information

    The supplemental Schedule H, Line 4a- Delinquent Participant Contributions for the year ended December 31, 2025 and Schedule H, Line 4i- Schedule of Assets (Held at End of Year) as of December 31, 2025 have been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental schedules are the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental schedules reconcile 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 schedules. In forming our opinion on the supplemental schedules, we evaluated whether the supplemental schedules, including their form and content, are 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 schedules are fairly stated, in all material respects, in relation to the financial statements as a whole.

    /s/ PricewaterhouseCoopers LLP
    New York, New York
    June 26, 2026

    We have served as the Plan’s auditor since at least 1996. We have not been able to determine the specific year we began serving as auditor of the Plan.




    PARAMOUNT GLOBAL 401(k) PLAN
    STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
    (In thousands)
    At December 31,
    20252024
    Assets
    Investments, at fair value$6,091,456 $5,598,012 
    Synthetic guaranteed investment contracts, at contract value615,938 679,811 
    Receivables:
    Notes receivable from participants34,188 37,529 
    Employer contributions34,172 41,827 
    Interest and dividends2,350 2,549 
    Due from broker for securities sold 956 1,426 
    Total assets6,779,060 6,361,154 
    Liabilities
    Accrued expenses2,325 1,784 
    Due to broker for securities purchased 3,094 4,280 
    Total liabilities5,419 6,064 
    Net assets available for benefits$6,773,641 $6,355,090 
    The accompanying notes are an integral part of these financial statements.
    2


    PARAMOUNT GLOBAL 401(k) PLAN
    STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
    (In thousands)
    Year Ended
    December 31, 2025
    Additions to net assets attributed to:
    Investment income:
    Net appreciation in fair value of investments
    $918,012 
    Interest17,797 
    Dividends4,351 
    Interest income on notes receivable from participants2,743 
    Contributions:
    Employee173,438 
    Employer116,911 
    Rollover 16,157 
    Total additions1,249,409 
    Deductions from net assets attributed to:
    Benefits paid to participants(827,909)
    Plan expenses(2,949)
    Total deductions(830,858)
    Net increase
    418,551 
    Net assets available for benefits, beginning of year6,355,090 
    Net assets available for benefits, end of year$6,773,641 
    The accompanying notes are an integral part of these financial statements.

    3


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS
    (Tabular dollars in thousands)

    NOTE 1 - PLAN DESCRIPTION
    The following is a brief description of the Paramount Global 401(k) Plan (the “Plan”) and is provided for general information only. Participants should refer to the Plan document, as amended, for more complete information regarding the Plan.
    The Plan, sponsored by Paramount Global (the “Company”), is a defined contribution plan offered to substantially all of the Company’s U.S. based employees who are employed by the Company or any of its participating subsidiaries and affiliates and paid through a Company payroll system. On August 7, 2025, pursuant to a transaction agreement (the “Transaction Agreement”) dated as of July 7, 2024, Paramount Global and Skydance Media, LLC became wholly-owned subsidiaries of Paramount Skydance Corporation (the “Skydance Transaction”).

    Eligible full-time, newly hired employees may enroll in the Plan immediately or are automatically enrolled following 60 days after hire or rehire and attainment of age 21, unless they elect not to participate. Part-time employees are automatically enrolled in the Plan on the first day of the month following the attainment of age 21 and completion of 1,000 hours of service within a consecutive twelve-month period, (or if earlier, upon satisfying the special service requirement for certain long-term part-time employees), unless they already voluntarily enrolled upon meeting the age and service requirements or have elected not to participate. The Plan is subject to the provisions of the Internal Revenue Code of 1986, as amended (the “Code”), and the Employee Retirement Income Security Act of 1974, as amended (“ERISA”). The Plan is overseen by the Paramount Global Administrative Committee (the “Administrative Committee”). The Administrative Committee has been designated as the administrator of the Plan as defined under ERISA (the “Plan Administrator”) under the Plan document.

    Exempt Party-in-Interest Transactions
    Prior to the Skydance Transaction, certain Plan investments were shares of Paramount Global Class A Common Stock and Paramount Global Class B Common Stock and, following the Skydance Transaction, certain Plan investments are shares of Paramount Skydance Corporation Class B Common Stock, and therefore qualified (or qualify) as party-in-interest transactions. The fair value of these investments was $57 million and $51 million at December 31, 2025 and 2024, respectively. In connection with the Skydance Transaction, the Plan’s shares of Paramount Global Class A Common Stock and Paramount Global Class B Common Stock were exchanged for shares of Paramount Skydance Corporation Class B Common Stock or cash in accordance with the Transaction Agreement and participant elections. For the year ended December 31, 2025, these investments appreciated by $15 million and earned dividends of $0.9 million. During the year ended December 31, 2025, the Plan sold shares of these investments for total proceeds of $79 million and purchased shares of these investments at a cost of $70 million. Total proceeds includes $3 million of cash received from participant elections in accordance with the Transaction Agreement, which was contributed to the stable value fund. All shares of Paramount Global Class A Common Stock and Paramount Global Class B Common Stock were delisted from Nasdaq and were cancelled and ceased to exist as of August 7, 2025.

    Fidelity Management Trust Company (the “Trustee”) is the trustee and custodian of the Plan, Fidelity Workplace Services LLC (the “Recordkeeper”) is the recordkeeper of the Plan, and State Street Global Advisors Trust Company (“State Street”) is an independent fiduciary for the Plan’s Paramount Skydance Corporation Class B stock fund. Certain Plan investments are managed or issued by the Trustee, State Street or their affiliates and therefore qualify as party-in-interest transactions. The fair value of these investments was $48 million and $53 million at December 31, 2025 and 2024, respectively. The Plan’s investments also included a synthetic guaranteed investment contract issued by State Street which expired in 2025. The contract value of this synthetic guaranteed investment contract was $60 million at December 31, 2024.

    4


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    Participant Accounts
    Each Plan participant’s account is credited with the participant’s contributions, the employer contributions, if applicable, and the participant’s share of the interest, dividends, and any realized or unrealized gains or losses of the Plan’s assets, net of certain Plan expenses. Plan accounts may also be debited for certain other expenses.

    Participants have the option of investing contributions to their accounts and their existing account balances among various investment options. These investment options include common collective funds, registered investment companies (mutual funds), proprietary funds that consist of common collective funds and/or separately managed accounts, which primarily invest in common stocks, a stable value fund that consists of synthetic guaranteed investment contracts, and the Paramount Skydance Corporation Class B Stock Fund.

    Within the Plan, the Paramount Skydance Corporation Class B Stock Fund is part of an Employee Stock Ownership Plan (“ESOP”). As a result, the Plan offers an ESOP dividend election under which Plan participants can elect to reinvest any ESOP dividends paid on vested shares in the Paramount Skydance Corporation Class B Stock Fund or to receive dividends as a cash payout. If a participant does not make an election, the dividends are reinvested in the Paramount Skydance Corporation Class B Stock Fund.

    Participants may also elect to open a self-directed brokerage account (“SDA”). Participants may not contribute directly to the SDA, but may transfer balances to the SDA from other investment funds except the Stable Value Fund. A participant may transfer up to 25% of their account balance (net of loans) to the SDA. The initial transfer to the SDA may not be less than $2,500 and there is no minimum for subsequent individual transfers.

    Contributions
    The Plan permits participants to contribute up to 50% of eligible annual compensation on a traditional before-tax, Roth 401(k) after-tax, or combination basis and up to 15% of eligible annual compensation on a traditional after-tax basis, subject to the Code limitations set forth below. Total combined contributions for all participants may not exceed 50% of eligible annual compensation. Roth 401(k) contributions and the related earnings can be withdrawn tax-free if certain requirements are met.

    The Plan provides (1) nondiscretionary employer matching contributions and (2) discretionary profit-sharing contributions. The formula for the nondiscretionary matching contributions is (a) 100% of a participant’s deferrals on the first 1% of the participant’s eligible compensation, plus (b) 80% of a participant’s deferrals on the next 5% of the participant’s eligible compensation. Any discretionary profit sharing contributions are contributed for those eligible participants who are active employees eligible for the Plan on December 31. For 2025, a discretionary profit-sharing contribution of 1.25% was made in April 2026 and is therefore included in employer contributions receivable on the Statement of Net Assets Available for Benefits.

    Participants may elect to invest their contributions in any investment option, including the Paramount Skydance Corporation Class B Stock Fund. If no option is elected by the participant, the contribution is invested in the Plan’s Qualified Default Investment Alternative (“QDIA”), a common collective fund that is primarily invested in a mix of equities and bonds appropriate for the participant’s target retirement year, which is assumed to be at age 65.

    Effective on the 60th day following the date upon which an employee becomes eligible to participate in the Plan, employees are deemed to have authorized the Company to make before-tax contributions to the Plan in an amount equal to 6% of the employee’s eligible compensation. However, a deemed authorization does not take effect if, during the 60-day period, the employee elects not to participate in the Plan or to participate at a different contribution rate.

    5


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    The Code limits the amount of annual participant contributions that can be made on a before-tax or Roth 401(k) basis to $23,500 for 2025. Total compensation considered under the Plan, based on Code limits, could not exceed $350,000 for 2025. The Code also limits annual aggregate participant and employer contributions to the lesser of $70,000 or 100% of compensation in 2025. All contributions made to the Plan on an annual basis may be further limited due to certain nondiscrimination requirements prescribed by the Code.

    All participants who have attained age 50 before the close of the Plan year (calendar year) are eligible to make catch-up contributions. These contributions are not treated as matchable contributions. Catch-up contributions can be made if the eligible participant makes the maximum $23,500 contribution permitted for the Plan year. The limit for catch-up contributions was $7,500 in 2025.

    Vesting
    Participants in the Plan are immediately vested in their own contributions and earnings thereon. The Plan includes a two-year cliff vesting schedule for employer matching contributions and profit-sharing contributions (collectively “employer contributions”).

    Forfeitures
    If a participant’s employment terminates prior to being fully vested in their employer contributions, the non-vested portion of their account is forfeited and may be used for future employer contributions and, to the extent not used or designated for such contributions, to pay administrative expenses. Forfeitures are recorded at the time vested benefits are distributed or as of the close of the fifth consecutive year of break in service if no distribution was elected. During 2025, the Plan utilized forfeitures of approximately $0.4 million to pay administrative expenses and $3.6 million to fund employer contributions. As of December 31, 2025 and 2024, the Plan had forfeitures of approximately $5.1 million and $4.5 million, respectively, available to be used as noted above.

    Notes Receivable from Participants
    Eligible participants may request a loan for up to the lesser of 50% of the participant’s vested account balance or $50,000, reduced by the highest outstanding balance of any Plan loan made to the participant during the twelve-month period ending on the day before the loan is made. The minimum loan available to a participant is $500. The interest rate on participant loans is one percentage point above the annual prime rate in effect (as published in The Wall Street Journal) on the first day of the calendar month in which the loan is processed. Principal and interest is payable through payroll deductions. Generally, only one loan may be outstanding at any time. Participants may elect repayment periods from 12 to 60 months commencing as soon as administratively possible following the distribution of the loan proceeds to the participant. The Plan allows participants to elect a repayment term of up to 300 months for loans used for the acquisition of a principal residence. Repayments of loan principal and interest are allocated in accordance with the participant’s current investment elections. Loans outstanding at December 31, 2025 carry interest rates ranging from 4.25% to 9.50%.

    Distributions and Withdrawals
    Earnings on employee contributions (other than Roth contributions) and employer contributions are not subject to income tax until they are distributed or withdrawn from the Plan, although earnings on Roth contributions are taxable upon distribution if the requirements for a tax-free distribution are not met.

    Participants in the Plan, or their beneficiaries, may receive their vested account balances in a lump sum, in installments over a period of up to 20 years, or in partial distributions of the account balance in the event of retirement, termination of employment, disability or death. For vested account balances invested in the Paramount Skydance Corporation Class B Stock Fund, participants may elect to receive distributions in cash or whole shares.
    6


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    In general, participants must receive a required minimum distribution (“RMD”) upon attainment of a certain age, unless they are still employed. For individuals who attain age 70 ½ on or after January 1, 2020, in accordance with the Setting Every Community Up for Retirement Enhancement Act of 2019 (the “SECURE Act”), the RMD age is 72. For individuals attaining age 70 ½ on or after January 1, 2023, in accordance with the SECURE Act 2.0, the RMD age is 73.

    Participants in the Plan may withdraw part or all of their after-tax and rollover contributions and the vested portion of employer matching contributions. Upon attainment of age 59 ½, participants may also withdraw all or part of their before-tax or Roth 401(k) contributions and earnings thereon. The Plan limits participants to two of the above withdrawal elections in each Plan year.

    A participant may obtain a financial hardship withdrawal of the vested portion of employer matching contributions, employer discretionary profit sharing contributions and employee before-tax or Roth 401(k) contributions provided that the requirements for hardship are met and only to the extent required to relieve such financial hardship. There is no restriction on the number of hardship withdrawals permitted.

    When a participant terminates employment with the Company, the full value of employee contributions and earnings thereon plus the value of all vested employer contributions and earnings thereon are eligible for distribution and can be rolled over to a tax qualified retirement plan or an Individual Retirement Account (“IRA”) or remain in the Plan rather than being distributed, subject to the minimum distribution requirement. If the vested account balance is $1,000 or less and the participant does not make an election to rollover the vested account balance, it will be automatically paid in a single lump sum cash payment, and taxes will be withheld from the distribution.

    Plan Expenses
    Trustee fees and fees for investment of Plan assets are charged to the Plan’s investment funds. Certain administrative expenses such as fees for accounting, investment consulting and employee communications may be paid by the Plan using forfeitures or may be paid by the Company. Recordkeeping fees are paid from participant accounts. For 2025, $0.4 million was paid to the Trustee and the Recordkeeper, parties in interest, for services provided during the year.
    NOTE 2 - SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
    Basis of Accounting
    The financial statements are prepared in conformity with accounting principles generally accepted in the United States of America (“U.S. GAAP”).

    In accordance with Financial Accounting Standards Board (“FASB”) guidance, investments are reported at fair value, except for fully benefit-responsive investment contracts which are reported at contract value. Contract value was determined to be the relevant measurement for the portion of net assets available for benefits attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan. The Statement of Changes in Net Assets Available for Benefits is prepared on a contract value basis with respect to the fully benefit-responsive investment contracts.

    Investment Valuation
    Short-term money market investments are carried at amortized cost which approximates fair value due to the short-term maturity of these investments. Investments in common stock are reported at fair value based on quoted market
    7


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    prices on national security exchanges. Investments in registered investment companies are reported at fair value based on quoted market prices in active markets. The fair value of investments in separately managed accounts is determined by the Trustee based upon the fair value of the underlying securities. The fair values of investments in common collective funds (“CCTs”) are determined using the net asset value per share (“NAV”) provided by the administrator of the fund. The NAV is determined by each fund’s trustee based upon the fair value of the underlying assets owned by the fund, less liabilities, divided by the number of outstanding units. The common collective funds have no restrictions on participant redemptions. The notice period applicable to the Plan in the case of a full redemption varies by fund and ranges from one day to one month. The Plan had no unfunded commitments relating to the common collective funds at December 31, 2025 and 2024. The fair value of fixed income, asset-backed and mortgage-backed securities is determined by independent pricing sources based on quoted market prices, when available, or using valuation models which incorporate certain other observable inputs including recent trading activity for comparable securities and broker quoted prices. Cash and cash equivalents are valued at cost plus accrued interest, which approximates fair value.

    The Plan invests in fully benefit-responsive synthetic guaranteed investment contracts through the Stable Value Fund. The value of these contracts represents the aggregate amount of deposits thereto, plus interest at the contract rate, less withdrawals. As part of their investment strategy, the managers of the Stable Value Fund may use derivative financial instruments for various purposes, including managing exposure to sector risk or movements in interest rates, extending the duration of the investment portfolio and as a substitute for cash securities. The derivative instruments typically used are interest rate futures and swaps. Interest rate swaps are recorded at fair value and marked-to-market through the duration of the contract term with an offsetting increase to unrealized appreciation (depreciation). Futures are marked-to-market and settled daily. The daily receipt or payment is recognized as unrealized appreciation (depreciation) until the contract is closed at which time the total fair value of the futures contract is recognized as a realized gain (loss).

    Security Transactions and Income Recognition
    Purchases and sales of securities are recorded on the trade date. The average cost basis is used to determine gains or losses on security dispositions. Interest income is accrued as earned and dividend income is recorded on the ex-dividend date.

    Net appreciation or depreciation in the fair value of investments, included in the Statement of Changes in Net Assets Available for Benefits, consists of the realized gains and losses and the unrealized appreciation and depreciation on those investments presented at fair value.

    Contributions
    Contributions from Plan participants and nondiscretionary matching contributions from the Company are recorded in the year in which the employee contributions are withheld from compensation.

    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 reclassified as distributions based upon the terms of the Plan.

    Payment of Benefits
    Benefit payments are recorded when paid.

    8


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    Use of Estimates
    The preparation of financial statements in conformity with U.S. GAAP requires the Plan to make estimates and assumptions, such as those regarding the fair value of investments, that affect the reported amounts of assets and liabilities, disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of changes in net assets available for benefits during the reporting period. Actual results could differ from these estimates.
    NOTE 3 - RISKS AND UNCERTAINTIES
    The Plan provides for various investment options. Investment securities are exposed to various risks such as market, interest rate and credit risk. Market values of investments could decline for several reasons including changes in prevailing markets and interest rates, increases in defaults, and credit rating downgrades. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of such securities, it is at least reasonably possible that changes in investment values in the near term could materially affect participants’ account balances and the amounts reported in the Statements of Net Assets Available for Benefits and the related Statement of Changes in Net Assets Available for Benefits.
    NOTE 4 - INVESTMENTS AT CONTRACT VALUE
    The Plan invests in synthetic guaranteed investment contracts, which provide for the repayment of principal plus interest through benefit-responsive wrapper contracts. A wrapper contract is issued by a third party insurance company, financial institution or bank, and is held in combination with fixed income securities to form a synthetic guaranteed investment contract. The interest crediting rate on synthetic guaranteed investment contracts reflects the yield of the associated fixed income investments, plus the amortization of realized and unrealized gains and losses on those investments, typically over the duration of the investments. Interest crediting rates are reset on a monthly or quarterly basis, and the wrapper contracts provide that adjustments to the interest crediting rate cannot result in a future interest crediting rate that is less than zero. Certain factors can influence the future interest crediting rates, including the level of market interest rates, the amount and timing of participant contributions and withdrawals, and the returns generated by the fixed income investments that are associated with the synthetic guaranteed investment contract.

    Certain employer initiated events may limit the ability of the Plan to transact at contract value with the issuer. These events include, but are not limited to, full or partial termination of the Plan, a material adverse change to the provisions of the Plan, an employer election to withdraw from the contract to switch to a different investment provider, an employer’s bankruptcy, layoffs, plant closings, corporate spin-offs, mergers, divestitures or other workforce restructurings, or if the terms of a successor plan do not meet the contract issuer’s underwriting criteria for issuance of a replacement contract with identical terms. The Plan Administrator believes that no events are probable of occurring that may limit the ability of the Plan to transact at contract value.

    The contract issuer is permitted to terminate the fully benefit-responsive investment contracts with the Plan and settle at an amount different from contract value in certain events, including loss of the Plan’s qualified status, an uncured material breach of responsibility, or material adverse changes to the provisions of the Plan.

    At December 31, 2025 and 2024, the contract value of the Plan’s synthetic guaranteed investment contracts was $616 million and $680 million, respectively.
    NOTE 5 - FAIR VALUE MEASUREMENTS
    The following tables set forth the Plan’s financial assets measured at fair value on a recurring basis at December 31, 2025 and 2024. See Note 2 for the valuation methodology used to measure the fair value of these investments.
    9


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    There have been no changes to the methodologies used to measure the fair value of each asset from December 31, 2024 to December 31, 2025. These assets have been categorized according to the three-level fair value hierarchy established by the FASB, which prioritizes the inputs used in measuring fair value. Level 1 is based on quoted prices for the asset in active markets. Level 2 is based on inputs that are observable other than quoted market prices in Level 1, such as quoted prices for the asset in inactive markets or quoted prices for similar assets. Level 3 is based on unobservable inputs reflecting the Plan’s own assumptions about the assumptions that market participants would use in pricing the asset. The asset’s level within the fair value hierarchy is based on the lowest level of any input that is significant to the fair value measurement. Valuation techniques maximize the use of relevant observable inputs and minimize the use of unobservable inputs. The Plan has no investments classified within Level 3 of the valuation hierarchy.

    At December 31, 2025Level 1Level 2Total
    Self-directed accounts (a)
    $77,510 $10,512 $88,022 
    Separately managed accounts:
    Sanders Capital (b)
    154,482 1,619 156,101 
    Wellington Management Company (b)
    155,234 3,955 159,189 
    Sustainable Growth Advisors(b)
    152,206 4,792 156,998 
    Dodge & Cox (b)
    155,495 983 156,478 
    Snyder Capital Management (b)
    41,339 1,048 42,387 
    Paramount Skydance Corporation Common Stock Fund (c)
    56,513 103 56,616 
    Registered investment companies (d)
    199,521 — 199,521 
    Money market funds (e)
    — 19,929 19,929 
    Total assets in fair value hierarchy$992,300 $42,941 $1,035,241 
    Common collective funds measured at net asset value (f)
    5,056,215 
    Investments, at fair value$6,091,456 
    10


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    At December 31, 2024Level 1Level 2Total
    Self-directed accounts (a)
    $67,981 $9,499 $77,480 
    Separately managed accounts:
    Sanders Capital (b)
    156,513 1,092 157,605 
    Wellington Management Company (b)
    156,091 820 156,911 
    Sustainable Growth Advisors(b)
    153,465 2,932 156,397 
    Dodge & Cox (b)
    161,677 6,203 167,880 
    Snyder Capital Management (b)
    46,636 5,702 52,338 
    Paramount Global Common Stock Funds (c)
    51,168 137 51,305 
    Registered investment companies (d)
    146,201 — 146,201 
    Money market funds (e)
    — 16,183 16,183 
    Total assets in fair value hierarchy$939,732 $42,568 $982,300 
    Common collective funds measured at net asset value (f)
    4,615,712 
    Investments, at fair value$5,598,012 
    (a)Primarily invested in common stock and registered investment companies. Assets categorized as Level 2 reflect investments in money market funds.
    (b)Primarily invested in large and small capitalization equities. Assets categorized as Level 2 reflect investments in money market funds.
    (c)Assets categorized as Level 2 reflect investments in money market funds.
    (d)Primarily invested in equities and U.S. fixed income securities.
    (e)Primarily invested in U.S. government securities and U.S. government agency securities.
    (f)In accordance with FASB guidance, investments that are measured at fair value using the net asset value per share (or its equivalent) as a practical expedient have not been classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the line items presented in the Statement of Net Assets Available for Benefits. At December 31, 2025, 52% of the CCTs were invested passively in U.S. and international equities and U.S. fixed income securities, 44% of the CCTs were invested in passive target date funds and the remaining 4% of the CCTs were invested actively in U.S. small/mid cap and international equities. At December 31, 2024, 54% of the CCTs were invested passively in U.S. and international equities and U.S. fixed income securities, 41% of the CCTs were invested in passive target date funds and the remaining 5% of the CCTs were invested actively in U.S. small/mid cap and international equities.
    NOTE 6 - INCOME TAX STATUS
    The Internal Revenue Service (“IRS”) issued a favorable determination letter dated January 13, 2015, indicating that the Plan document satisfied the requirements of Section 401(a) of the Code and that the trust thereunder is exempt from federal income taxes under the provisions of Section 501(a) of the Code. The Plan Administrator believes that, although the Plan has been amended subsequent to the date of the IRS determination, it is designed and is currently being operated in compliance with the applicable provisions of the Code.

    As of December 31, 2025, there are no uncertain tax positions taken or expected to be taken that require recognition of an asset or liability or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions; however, there are no audits in progress for any tax year.
    NOTE 7 - TERMINATION PRIORITIES
    The Company has reserved the right by action of the Paramount Skydance Corporation Board of Directors or Administrative Committee to amend or terminate the Plan provided that such action does not retroactively reduce earned participant benefits. In the event of termination of the Plan, participants become fully vested.
    11


    PARAMOUNT GLOBAL 401(k) PLAN
    NOTES TO FINANCIAL STATEMENTS (Continued)
    (Tabular dollars in thousands)
    NOTE 8 - 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:
    At December 31,
    20252024
    Net assets available for benefits per the financial statements$6,773,641 $6,355,090 
    Participant loans deemed distributed(1,717)(1,665)
    Net assets available for benefits per the Form 5500$6,771,924 $6,353,425 
    The following is a reconciliation of the net increase in net assets available for benefits as reflected in the financial statements to the Form 5500:
    Year Ended
    December 31, 2025
    Net increase in net assets available for benefits per the financial statements$418,551 
    Participant loans deemed distributed at December 31, 2025
    (1,717)
    Participant loans deemed distributed at December 31, 2024
    1,665 
    Net increase in net assets available for benefits per the Form 5500
    $418,499 
    NOTE 9 - SUBSEQUENT EVENTS
    Subsequent events and transactions have been evaluated through the date the financial statements were issued, and are incorporated herein as applicable.
    12



    SCHEDULE H, line 4a

    PARAMOUNT GLOBAL 401(k) PLAN
    SCHEDULE OF DELINQUENT PARTICIPANT CONTRIBUTIONS
    As of and for the year ended December 31, 2025
    (Dollars in thousands)


    Participant
    Contributions
    Transferred late to Plan
    Total That Constitute Nonexempt Prohibited TransactionsTotal Fully Corrected
    Under Voluntary
    Check Here
    If Late Participant Loan
    Fiduciary Correction
    Program (VFCP) and
    Repayments Are
    Included ☐
    Contributions
    Not Corrected
    Contributions Corrected
    Outside VFCP
    Contributions Pending
    Correction in VFCP
    Prohibited Transaction
    Exemption 2002-51
    $8 $— $— $8 $— 

    S - 1




    SCHEDULE H, line 4i
    PARAMOUNT GLOBAL 401(k) PLAN
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    December 31, 2025
    (Dollars in thousands)
    Identity of issue, borrower, lessor or similar partyDescription of investment including maturity date, rate of interest, collateral, par, or maturity value
    Cost (4)
    Current Value
    Self-Directed Accounts (1)
    $88,022 
    Corporate Common Stock Funds
    *Paramount Skydance Corporation Class B Stock Fund
    4,233,283 Shares
    56,513 
    *Fidelity Institutional Money Market Government PortfolioMoney Market Fund103 
    Total Corporate Common Stock Funds56,616 
    Registered Investment Companies
    Vanguard FTSE Social Index FundPassively Managed Fund145,513 
    Baird Core Plus Bond InstActively Managed Fund54,008 
    *Fidelity Institutional Money Market Government PortfolioMoney Market Fund19,929 
    Total Registered Investment Companies219,450 
    Common / Collective Funds
    BlackRock S&P 500 Index FundPassively Managed Fund1,613,758 
    BlackRock Extended Equity Market FundPassively Managed Fund326,968 
    BlackRock - US Bond Index FundPassively Managed Fund332,241 
    Vanguard Institutional Total International Stock Market Index TrustPassively Managed Fund374,530 
    BlackRock LifePath Retirement FundTarget Retirement Date Fund203,600 
    BlackRock LifePath 2030 FundTarget Retirement Date Fund165,424 
    BlackRock LifePath 2035 FundTarget Retirement Date Fund245,155 
    BlackRock LifePath 2040 FundTarget Retirement Date Fund360,645 
    BlackRock LifePath 2045 FundTarget Retirement Date Fund378,793 
    BlackRock LifePath 2050 FundTarget Retirement Date Fund395,053 
    BlackRock LifePath 2055 FundTarget Retirement Date Fund274,675 
    BlackRock LifePath 2060 FundTarget Retirement Date Fund141,749 
    BlackRock LifePath 2065 FundTarget Retirement Date Fund32,445 
    Wasatch Core Growth CIT Class ASmall Cap US Equity Fund48,960 
    Cramer Rosenthal McGlynn Small /Mid Cap FundSmall Cap US Equity Fund30,461 
    Mawer International Equity Collective FundInternational Equity Fund32,956 
    GQG Partners International Equity Fund International Equity Fund32,896 
    INVESCO International Growth FundInternational Equity Fund32,974 
    Pzena International Value All Country (Ex US) FundInternational Equity Fund32,932 
    Total Common Collective Funds
    5,056,215 
    Separately Managed Accounts
    Sanders Capital (2)
    Large Cap US Equity Fund154,482 
    Wellington Management Company (2)
    Large Cap US Equity Fund155,234 
    Sustainable Growth Advisors (2)
    Large Cap US Equity Fund152,206 
    Dodge & Cox (1) (2)
    Large Cap US Equity Fund155,495 
    Snyder Capital Management (2)
    Small Cap US Equity Fund41,339 
    *State Street Bank Government STIF FundShort - Term Investment Fund12,397 
    Total Separately Managed Accounts671,153 
    Synthetic Guaranteed Investment Contracts
    Voya: 60548
    Evergreen & Rate of Interest 3.11%
    53,773 
    Lincoln National Life Insurance Company: BVW0024G
    Evergreen & Rate of Interest 2.67%
    180,954 
    Prudential Insurance Company of America: GA-64465
        
    Evergreen & Rate of Interest 2.91%
    155,266 
    Met Tower Life: 39871
    Evergreen & Rate of Interest 2.70%
    225,945 
    Total Synthetic Guaranteed Investment Contracts615,938 
    *
    Notes receivable from participants (3)
    Interest rates ranging from 4.25% to 9.50%
    32,471 
    Total investments and notes receivable from participants$6,739,865 
    *Identified as a party-in-interest to the Plan.
    (1)
    Includes $15 million of investments identified as party-in-interest transactions to the Plan.
    (2)Refer to Attachment A for listing of assets relating to these accounts.
    (3)Does not include participant loans deemed distributed.
    (4)There are no non-participant directed investments.
    S - 2




    Attachment A
    (In thousands)
    Identity of IssuerDescriptionCostCurrent Value
    ALPHABET INC CL CCOMMON STOCK$11,399 
    AMAZON.COM INCCOMMON STOCK9,016 
    AMERICAN EXPRESS COCOMMON STOCK773 
    ANALOG DEVICES INCCOMMON STOCK958 
    APPLE INCCOMMON STOCK15,569 
    ARISTA NETWORKS INCCOMMON STOCK1,672 
    ARM HOLDINGS LTDCOMMON STOCK85 
    AXON ENTERPRISE INCCOMMON STOCK1,328 
    BROADCOM INCCOMMON STOCK8,771 
    CADENCE DESIGN SYSTEMS INCCOMMON STOCK 1,224 
    CORPAY INCCOMMON STOCK 468 
    DOORDASH INCCOMMON STOCK 1,921 
    META PLATFORMS INC CL ACOMMON STOCK 4,808 
    FASTENAL COCOMMON STOCK 1,245 
    FIGMA INC-CL ACOMMON STOCK393 
    GE VERNOVA INCCOMMON STOCK471 
    GE AEROSPACECOMMON STOCK2,727 
    GOLDMAN SACHS GROUP INCCOMMON STOCK1,170 
    HILTON WORLDWIDE HOLDINGS INCCOMMON STOCK 1,351 
    HOME DEPOT INCCOMMON STOCK 1,469 
    HUBSPOT INCCOMMON STOCK 800 
    IDEXX LABS INCCOMMON STOCK 1,345 
    INTUIT INCCOMMON STOCK978 
    INTUITIVE SURGICAL INCCOMMON STOCK 1,548 
    KKR & CO INCCOMMON STOCK 1,512 
    ELI LILLY & COCOMMON STOCK 6,438 
    MSCI INCCOMMON STOCK710 
    MASTERCARD INC CL ACOMMON STOCK 4,449 
    MICROSOFT CORPCOMMON STOCK 17,512 
    MONOLITHIC POWER SYS INCCOMMON STOCK 751 
    NASDAQ INCCOMMON STOCK 1,160 
    NATERA INCCOMMON STOCK 927 
    NETFLIX INCCOMMON STOCK 2,660 
    NVIDIA CORPCOMMON STOCK 21,568 
    PALANTIR TECHNOLOGIES INCCOMMON STOCK 97 
    S&P GLOBAL INCCOMMON STOCK 1,178 
    SERVICENOW INCCOMMON STOCK1,120 
    STRYKER CORPCOMMON STOCK 2,235 
    TJX COMPANIES INC NEWCOMMON STOCK 885 
    TAIWAN SEMIC MFG CO LTD SP ADRCOMMON STOCK 1,649 
    TESLA INCCOMMON STOCK 3,871 
    THERMO FISHER SCIENTIFIC INCCOMMON STOCK 1,151 
    TRADEWEB MARKETS INC ACOMMON STOCK 1,166 
    TRANSUNIONCOMMON STOCK 1,081 
    UBER TECHNOLOGIES INCCOMMON STOCK 1,489 
    UNITY SOFTWARE INCCOMMON STOCK1,015 
    VISA INC CL ACOMMON STOCK 1,112 
    WELLTOWER INCCOMMON STOCK 2,458 
    ASML HLDG NV (NY REG SHS) NEW YORK REGISTERED SHARCOMMON STOCK 1,670 
    SPOTIFY TECHNOLOGY SACOMMON STOCK 1,001 
    SHOPIFY INC CL ACOMMON STOCK1,035 
    WASTE CONNECTIONS INCCOMMON STOCK 1,849 
    NET PAYABLES(4)
    WELLINGTON MANAGEMENT CO$155,234 
    S - 3




    Attachment A
    (In thousands)
    Identity of IssuerDescriptionCostCurrent Value
    ADOBE INCCOMMON STOCK$770 
    AEGON LTD (NY REGD) NEW YORK REGISTERED SHARESCOMMON STOCK593 
    AIR PRODUCTS & CHEMICALS INCCOMMON STOCK2,026 
    ALNYLAM PHARMACEUTICALS INCCOMMON STOCK587 
    ALPHABET INC CL CCOMMON STOCK2,416 
    ALPHABET INC CL ACOMMON STOCK4,257 
    AMAZON.COM INCCOMMON STOCK3,647 
    AMERICAN ELECTRIC POWER CO INCCOMMON STOCK830 
    ANHEUSER-BUSCH INBEV SPN ADRCOMMON STOCK2,081 
    ARCHER DANIELS MIDLAND COCOMMON STOCK862 
    AVANTOR INCCOMMON STOCK1,094 
    BAKER HUGHES COCOMMON STOCK1,803 
    BANK OF NEW YORK MELLON CORPCOMMON STOCK2,879 
    BAXTER INTL INCCOMMON STOCK1,032 
    BIOMARIN PHARMACEUTICAL INCCOMMON STOCK850 
    THE BOOKING HOLDINGS INCCOMMON STOCK2,490 
    BRISTOL-MYERS SQUIBB COCOMMON STOCK329 
    CIGNA GROUP (THE)COMMON STOCK2,711 
    CVS HEALTH CORPCOMMON STOCK4,365 
    CAPITAL ONE FINANCIAL CORPCOMMON STOCK2,084 
    CARRIER GLOBAL CORPCOMMON STOCK824 
    CELANESE CORPCOMMON STOCK600 
    CHARTER COMMUNICATIONS INC ACOMMON STOCK2,703 
    COGNIZANT TECH SOLUTIONS CL ACOMMON STOCK1,270 
    COMCAST CORP CL ACOMMON STOCK3,070 
    CONOCOPHILLIPSCOMMON STOCK889 
    DOMINION ENERGY INCCOMMON STOCK1,207 
    ELANCO ANIMAL HEALTH INCCOMMON STOCK1,650 
    META PLATFORMS INC CL ACOMMON STOCK3,069 
    FEDEX CORPCOMMON STOCK4,094 
    FIDELITY NATL INFORM SVCS INCCOMMON STOCK2,938 
    FIRST CITIZENS BANCSHARES INC CL ACOMMON STOCK215 
    FISERV INCCOMMON STOCK2,808 
    FORTIVE CORPCOMMON STOCK2,584 
    FOX CORP CL ACOMMON STOCK460 
    FOX CORPORATION BCOMMON STOCK868 
    GE HEALTHCARE TECHNOLOGIES INC WICOMMON STOCK2,264 
    ARTHUR J GALLAGHAR AND COCOMMON STOCK155 
    GAMING AND LEISURE PROPRTI INCCOMMON STOCK642 
    GE AEROSPACECOMMON STOCK1,388 
    GILEAD SCIENCES INCCOMMON STOCK3,118 
    GSK PLC SPONS ADRCOMMON STOCK3,276 
    GOLDMAN SACHS GROUP INCCOMMON STOCK1,362 
    HP INCCOMMON STOCK781 
    HALEON PLC SPONS ADRCOMMON STOCK1,428 
    HUMANA INCCOMMON STOCK2,622 
    IDEX CORPORATIONCOMMON STOCK303 
    INCYTE CORPCOMMON STOCK1,175 
    INTERNATIONAL FLAVORS & FRAGRACOMMON STOCK1,661 
    LPL FINL HLDGS INCCOMMON STOCK1,286 
    METLIFE INCCOMMON STOCK3,971 
    MICROSOFT CORPCOMMON STOCK3,772 
    MICROCHIP TECHNOLOGYCOMMON STOCK338 
    MOLSON COORS BEVERAGE CO BCOMMON STOCK887 
    NEUROCRINE BIOSCIENCES INCCOMMON STOCK780 
    NEWS CORP NEW CL ACOMMON STOCK337 
    NORFOLK SOUTHERN CORPCOMMON STOCK3,089 
    NOVARTIS AG SPON ADRCOMMON STOCK1,268 
    OCCIDENTAL PETROLEUM CORPCOMMON STOCK3,036 
    RALLIANT CORPCOMMON STOCK484 
    RTX CORPCOMMON STOCK6,584 
    REGENERON PHARMACEUTICALS INCCOMMON STOCK3,068 
    ROCHE HOLDING LTD SPON ADRCOMMON STOCK1,124 
    SBA COMMUNICATIONS CORPCOMMON STOCK1,973 
    SANOFI SPON ADRCOMMON STOCK2,690 
    SCHWAB CHARLES CORPCOMMON STOCK6,864 
    SUN COMMUNITIES INC - REITCOMMON STOCK1,812 
    T-MOBILE US INCCOMMON STOCK1,239 
    TELEDYNE TECHNOLOGIES INCCOMMON STOCK894 
    TRANSUNIONCOMMON STOCK755 
    UNITEDHEALTH GROUP INCCOMMON STOCK2,707 
    VF CORPCOMMON STOCK665 
    WELLS FARGO & COCOMMON STOCK2,824 
    ZIMMER BIOMET HLDGS INCCOMMON STOCK1,911 
    LYONDELLBASELL INDS CLASS ACOMMON STOCK641 
    WILLIS TOWERS WATSON PLCCOMMON STOCK1,450 
    AON PLCCOMMON STOCK1,694 
    BROOKFIELD CORP CL ACOMMON STOCK1,216 
    TE CONNECTIVITY PLCCOMMON STOCK2,457 
    MEDTRONIC PLCCOMMON STOCK745 
    JOHNSON CONTROLS INTERNATIONAL PLCCOMMON STOCK5,215 
    *STATE STREET CORPCOMMON STOCK593 
    NET PAYABLES(4)
    DODGE & COX$155,495 

    S - 4




    *    Identified as a party-in-interest to the Plan.


    Attachment A
    (In thousands)

    Identity of IssuerDescriptionCostCurrent Value
    ABBOTT LABORATORIESCOMMON STOCK$1,658 
    ABBVIE INCCOMMON STOCK1,794 
    ALPHABET INC CL CCOMMON STOCK11,858 
    AMAZON.COM INCCOMMON STOCK5,968 
    ELEVANCE HEALTH INCCOMMON STOCK3,414 
    APPLE INCCOMMON STOCK5,498 
    APPLIED MATERIALS INCCOMMON STOCK3,007 
    ASTRAZENECA PLC SPONS ADRCOMMON STOCK1,635 
    BNPSACOMMON STOCK1,331 
    BANK OF AMERICA CORPORATIONCOMMON STOCK5,070 
    THE BOOKING HOLDINGS INCCOMMON STOCK2,785 
    CIGNA GROUP (THE)COMMON STOCK4,054 
    CME GROUP INC CL ACOMMON STOCK1,535 
    DELTA AIR INCCOMMON STOCK3,110 
    ESSILORLUXOTTICA ADRCOMMON STOCK494 
    META PLATFORMS INC CL ACOMMON STOCK8,968 
    FISERV INCCOMMON STOCK284 
    GENERAL DYNAMICS CORPORATIONCOMMON STOCK3,273 
    HCA HEALTHCARE INCCOMMON STOCK8,413 
    ING GROEP NV SPON ADRCOMMON STOCK1,601 
    JPMORGAN CHASE & COCOMMON STOCK4,032 
    LOCKHEED MARTIN CORPCOMMON STOCK1,123 
    MASTERCARD INC CL ACOMMON STOCK1,673 
    MICROSOFT CORPCOMMON STOCK9,426 
    NATWEST GROUP PLC SPON ADRCOMMON STOCK1,459 
    NESTLE SA REG ADRCOMMON STOCK1,247 
    NORTHROP GRUMMAN CORPCOMMON STOCK3,974 
    PEPSICO INCCOMMON STOCK2,208 
    PROCTER & GAMBLE COCOMMON STOCK2,021 
    RTX CORPCOMMON STOCK4,231 
    ROCHE HOLDING LTD SPON ADRCOMMON STOCK2,533 
    *State Street SPDR S&P 500 ETFCOMMON STOCK1,594 
    SALESFORCE INCCOMMON STOCK3,290 
    SIEMENS AG SPON ADRCOMMON STOCK553 
    SUMITOMO MITSUI FINL GRP ADRCOMMON STOCK112 
    SYNCHRONY FINANCIALCOMMON STOCK1,418 
    TAIWAN SEMIC MFG CO LTD SP ADRCOMMON STOCK11,967 
    TRIP.COM GROUP LTD ADRCOMMON STOCK217 
    TRUIST FINL CORPCOMMON STOCK1,785 
    ULTA BEAUTY INCCOMMON STOCK980 
    UNILEVER PLC SPONS ADRCOMMON STOCK1,689 
    UNITED AIRLINES HOLDINGS INCCOMMON STOCK2,336 
    UNITEDHEALTH GROUP INCCOMMON STOCK3,094 
    VISA INC CL ACOMMON STOCK1,904 
    ACCENTURE PLC CL ACOMMON STOCK3,062 
    SEAGATE TECHNOLOGY HOLDINGS PLCCOMMON STOCK10,808 
    NET PAYABLES(4)
    SANDERS CAPITAL $154,482 












    S - 5





    Attachment A
    (In thousands)

    Identity of IssuerDescriptionCostCurrent Value
    ALPHABET INC CL CCOMMON STOCK$6,713 
    AMAZON.COM INCCOMMON STOCK11,574 
    AMERICAN EXPRESS COCOMMON STOCK3,843 
    APPLE INCCOMMON STOCK5,435 
    ARM HOLDINGS LTDCOMMON STOCK3,017 
    BROADCOM INCCOMMON STOCK2,275 
    CHIPOTLE MEXICAN GRILL INCCOMMON STOCK4,478 
    COOPER COMPANIES INCCOMMON STOCK4,529 
    DANAHER CORPCOMMON STOCK3,334 
    ECOLAB INCCOMMON STOCK2,855 
    META PLATFORMS INC CL ACOMMON STOCK6,036 
    GARTNER INCCOMMON STOCK3,334 
    WW GRAINGER INCCOMMON STOCK4,002 
    INTUIT INCCOMMON STOCK6,386 
    MICROSOFT CORPCOMMON STOCK11,270 
    NETFLIX INCCOMMON STOCK3,030 
    NIKE INC CL BCOMMON STOCK2,966 
    NVIDIA CORPCOMMON STOCK11,914 
    S&P GLOBAL INCCOMMON STOCK5,462 
    SALESFORCE INCCOMMON STOCK6,027 
    SERVICENOW INCCOMMON STOCK2,721 
    SYNOPSYS INCCOMMON STOCK5,428 
    UNITEDHEALTH GROUP INCCOMMON STOCK5,317 
    VISA INC CL ACOMMON STOCK7,060 
    WASTE MANAGEMENT INCCOMMON STOCK6,913 
    YUM BRANDS INCCOMMON STOCK6,185 
    *AON PLCCOMMON STOCK4,488 
    CANADIAN PACIFIC KANSAS CITY LTDCOMMON STOCK5,618 
    NET PAYABLES(4)
    SUSTAINABLE GROWTH ADVISORS$152,206 


    S - 6




    Attachment A
    (In thousands)

    Identity of IssuerDescriptionCostCurrent Value
    API GROUP CORPCOMMON STOCK$1,758 
    ADVANCED ENERGY INDUSTRIES INCCOMMON STOCK1,323 
    AGILYSYS INCCOMMON STOCK592 
    BWX TECHNOLOGIES INCCOMMON STOCK1,647 
    BRINKS COCOMMON STOCK739 
    BRIXMOR PPTY GROUP INCCOMMON STOCK884 
    CCC INTELLIGENT SOLUTIONS HOLD CL ACOMMON STOCK544 
    CABOT CORPCOMMON STOCK758 
    CACI INTERNATIONAL INCCOMMON STOCK1,715 
    CLEAN HARBORS INCCOMMON STOCK1,905 
    COHERENT CORPCOMMON STOCK2,092 
    COLUMBIA BANKING SYSTEMS INCCOMMON STOCK374 
    CAE INCCOMMON STOCK1,848 
    CRANE NXT COCOMMON STOCK344 
    DOLBY LABORATORIES INC CL ACOMMON STOCK1,010 
    DORMAN PRODUCTS INCCOMMON STOCK255 
    ENTEGRIS INCCOMMON STOCK1,466 
    GLACIER BANCORP INCCOMMON STOCK829 
    GRACO INCCOMMON STOCK811 
    HALOZYME THERAPEUTICS INCCOMMON STOCK1,296 
    HEICO CORP CL ACOMMON STOCK235 
    IDEX CORPORATIONCOMMON STOCK918 
    INGREDION INCCOMMON STOCK1,017 
    KBR INCCOMMON STOCK1,059 
    MCGRATH RENTCORPCOMMON STOCK964 
    MERCURY SYSTEMS INCCOMMON STOCK1,068 
    MINERALS TECHNOLOGIES INCCOMMON STOCK643 
    PDF SOLUTIONS INCCOMMON STOCK534 
    POWER INTEGRATIONS INCCOMMON STOCK789 
    PROSPERITY BANCSHARES INCCOMMON STOCK910 
    RLI CORPCOMMON STOCK478 
    RBC BEARINGS INCCOMMON STOCK1,575 
    SENSIENT TECHNOLOGIES CORPCOMMON STOCK1,278 
    SIMPSON MANUFACTURING COCOMMON STOCK950 
    UGI CORP NEWCOMMON STOCK1,384 
    UNITED COMMUNITY BANKS GACOMMON STOCK1,006 
    VALVOLINE INCCOMMON STOCK1,054 
    VERRA MOBILITY CORPCOMMON STOCK1,079 
    WEX INCCOMMON STOCK434 
    WOODWARD INCCOMMON STOCK1,804 
    NET PAYABLES(30)
    SNYDER CAPITAL MANAGEMENT$41,339 
    S - 7





    SIGNATURES

    Pursuant to the requirements of the Securities Exchange Act of 1934, the persons who administer the Plan have duly caused this annual report to be signed on its behalf by the undersigned, hereunto duly authorized.

    PARAMOUNT GLOBAL 401(k) PLAN
    Date: June 26, 2026
    By:
    /s/ Johan Eerenstein
    Johan Eerenstein
    Member of the Administrative Committee
    PARAMOUNT SKYDANCE CORPORATION
    By:/s/ Katherine Gill-Charest
    Katherine Gill-Charest
    Executive Vice President, Controller and
    Chief Accounting Officer

    S - 8

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    LOS ANGELES and NEW YORK, May 4, 2026 /PRNewswire/ -- Paramount Skydance Corporation (NASDAQ:PSKY) today announced financial results for the first quarter ending March 31, 2026. The company will conduct a conference call with a live audio webcast available on Paramount's Investors homepage at ir.paramount.com beginning at 1:45 p.m. (PT) / 4:45 p.m. (ET) on May 4.Please visit the Paramount Investors homepage to view a letter to shareholders.The conference call can also be accessed by dialing 800-715-9871 (U.S. domestic) or 646-307-1963 (international) using conference ID 69697. Please call five minutes in advance to ensure that you are connected prior to the call.An audio replay of the call w

    5/4/26 4:01:00 PM ET
    $PSKY
    Broadcasting
    Industrials

    Paramount Declares Quarterly Cash Dividend

    LOS ANGELES and NEW YORK, April 17, 2026 /PRNewswire/ -- Paramount Skydance Corporation ("Paramount") (NASDAQ:PSKY) today announced that its Board of Directors has declared a quarterly cash dividend of $0.05 per share, payable July 1, 2026, to each of its Class A and Class B shareholders of record as of June 15, 2026. About Paramount, a Skydance CorporationParamount, a Skydance Corporation (NASDAQ:PSKY) is a leading, next‑generation global media and entertainment company, comprised of three business segments: Studios, Direct-to-Consumer, and TV Media. The Company's portfolio unites legendary brands, including Paramount Pictures, Paramount Television, CBS, CBS News, CBS Sports, Nickelodeon, M

    4/17/26 4:05:00 PM ET
    $PSKY
    Broadcasting
    Industrials

    PARAMOUNT TO REPORT FIRST QUARTER 2026 FINANCIAL RESULTS ON MAY 4, 2026

    LOS ANGELES and NEW YORK, April 13, 2026 /PRNewswire/ -- Paramount Skydance Corporation (NASDAQ:PSKY) announced today that it will report first quarter 2026 financial results on Monday, May 4, 2026. The company will conduct a conference call following the release of its earnings materials, with a live audio webcast available on Paramount's Investors homepage at ir.paramount.com beginning at 1:45 p.m. (PT) / 4:45 p.m. (ET). The conference call can also be accessed by dialing 800-715-9871 (U.S. domestic) or 646-307-1963 (international) using conference ID 69697. Please call five minutes in advance to ensure that you are connected prior to the call.An audio replay of the call will be available

    4/13/26 4:01:00 PM ET
    $PSKY
    Broadcasting
    Industrials

    $PSKY
    Leadership Updates

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    PARAMOUNT APPOINTS DENNIS K. CINELLI AS CHIEF FINANCIAL OFFICER AND ADDS ANDREW CAMPION TO ITS BOARD OF DIRECTORS

    PARAMOUNT'S INTERIM CFO ANDREW C. WARREN TO SERVE AS STRATEGIC ADVISOR LOS ANGELES, Jan. 14, 2026 /PRNewswire/ -- Paramount, a Skydance Corporation (NASDAQ:PSKY) today announced that Dennis K. Cinelli will join the company's executive leadership team as Chief Financial Officer, effective January 15, 2026, and as such has resigned his Board of Directors seat. A highly accomplished financial executive, Cinelli has helped grow some of the world's most innovative companies, including Uber, where, as Head of Mobility for the U.S. and Canada, he played a critical role in expanding the business and was instrumental in taking the company public, and Scale AI, where, as CFO, he guided rapid revenue g

    1/14/26 4:05:00 PM ET
    $PSKY
    Broadcasting
    Industrials

    ADVENT ALLEN ENTERTAINMENT AND SIMTEC SYSTEMS TEAM UP TO CREATE THE SPECTACULAR "TOP GUN" THRILL RIDE

    Hollywood Action Takes Flight with Engineering Excellence in a Landmark Attraction for the Las Vegas Strip LAS VEGAS, Nov. 19, 2025 /PRNewswire/ -- Advent Allen Entertainment, a trailblazer in entertainment, hospitality, and destination development, today announced the appointment of Simtec Systems GmbH, one of the world's premier design and engineering companies, as the engineering and manufacturing partner for the highly anticipated Top Gun thrill ride attraction. Inspired by Paramount Pictures' iconic Top Gun (1986) and Top Gun: Maverick (2022) films, this attraction is poi

    11/19/25 9:00:00 AM ET
    $PSKY
    Broadcasting
    Industrials

    Clayton Kershaw Joins the 17th Skechers Pier to Pier Friendship Walk to Celebrate $3.2 Million Raised for Kids

    The Los Angeles Dodgers baseball legend warms up for the World Series on the beach, joining Howie Mandel, Brooke Burke and thousands in honor of children with special needs and education Star power hit a home run at Sunday's Skechers Pier to Pier Friendship Walk with baseball hero and surprise guest Clayton Kershaw, who joined AGT host and comedian Howie Mandel, fitness icon Brooke Burke, St. Louis Cardinals baseball player Brendan Donovan, Skechers executives and thousands of walkers on a day of hope, love and inclusion. Now in its 17th year, the Walk raised more than $3.2 million for children with special needs, public schools, and national college scholarships—bringing the event's tota

    10/21/25 4:19:00 PM ET
    $PSKY
    Broadcasting
    Industrials