Company: GHC
Filing Date: 2025-06-27
Form Type: 11-K
Source: 0000104889-25-000053
Chunk: 14

Company: Graham Holdings Co
Filing Date: 2025-06-27
Form: 11-K
Chunk 14
---
 estimated fair value and redemption requirements of the Master Trust’s investment in common collective trust are summarized as follows:

|                             |     | December 31, |        2024 |     |   |        2023 |     |      | Unfunded commitments |       | Redemption frequency |      |
|:----------------------------|:----|:-------------|------------:|:----|:--|------------:|:----|:-----|:---------------------|:------|:---------------------|:-----|
| Target-date strategy funds  |     | $            | 338,587,009 |     | $ | 267,276,011 |     | None |                      | Daily |                      | None |
| Target income strategy fund |     |              |   6,837,311 |     |   |   7,640,841 |     | None |                      | Daily |                      | None |
| Total                       |     | $            | 345,424,320 |     | $ | 274,916,852 |     |      |                      |       |                      |      |

<div align='center'>10</div>

### THE SAVINGS PLAN FOR GRAHAM HOLDINGS COMPANY

#### EIN 53-0182885, PLAN NO. 020
<div align='center'>SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)</div>

#### AS OF DECEMBER 31, 2024
|    |     | Identity of Issue, Borrower,                               
 Lessor, or Similar Party                                   |     | Description of Investment including Maturity Date, Rate of Interest, Collateral, Par, or Maturity Value |     | Cost |     | Current Value |             |
|:---|:----|:-----------------------------------------------------------|:----|:--------------------------------------------------------------------------------------------------------|:----|:-----|:----|:--------------|------------:|
| *  |     | Graham Holdings Company Master Trust                       |     | Interest in Master Trust                                                                                |     | **   |     | $             | 534,792,628 |
| *  |     | Notes receivable from Participants                         |     | Participant loans (4.25% - 9.5%)                                                                        |     | **   |     |               |   2,199,937 |
|    |     | Total Assets Held at End of Year                           |     |                                                                                                         |     |      |     | $             | 536,992