Company: KHC
Filing Date: 2025-06-23
Form Type: 11-K
Source: 0001637459-25-000118
Chunk: 16

Company: Kraft Heinz Co
Filing Date: 2025-06-23
Form: 11-K
Chunk 16
---
 $ | 171,280 |
| Change in adjustment from contract value to fair value for fully benefit-responsive investment contracts |     |   |    -855 |
| Change in deemed no post default payments                                                                |     |   |    -199 |
| Change in benefit claims payable                                                                         |     |   |       7 |
| Net income/(loss) per the Form 5500                                                                      |     | $ | 170,233 |

(9) SUBSEQUENT EVENTS:

On October 2, 2023, the EBAB filed a claim on behalf of the Kraft Heinz Defined Contribution Master Trust in the proposed settlement of the Kraft Heinz Securities Litigation class action. The settlement class, subject to limited exclusions, consisted of all persons or entities who purchased or otherwise acquired Kraft Heinz common stock or call options on Kraft Heinz common stock, or sold put options on Kraft Heinz common stock, from November 6, 2015 through August 7, 2019. On May 15, 2025, the Kraft Heinz Securities Litigation Settlement Fund issued to the Kraft Heinz Defined Contribution Master Trust an initial distribution in the amount of $10.2 million (unaudited). The portion of this initial distribution allocable to the Plan is not yet known. Furthermore, it is currently unknown whether any future distributions will occur, or what their amounts might be.

<div align='center'>13</div>

#### Supplemental Schedule
<div align='center'>KRAFT HEINZ SAVINGS PLAN

EIN: 25-0542520 PLAN 009

SCHEDULE H, Line 4i -- SCHEDULE OF ASSETS (HELD AT END OF YEAR) as of

December 31, 2024</div>

| (a) |     | (b) Identity of issue, borrower,                                                                                            
 lessor, or similar party                                                                                                    |     | (c) Description of investment including                                                                      
 maturity date, rate of interest,                                                                             
 collateral, par or maturity value                                                                            |     | (d) Cost |     | (e) Current 
 Value       |            |            |
|:----|:----|:----------------------------------------------------------------------------------------------------------------------------|:----|:-------------------------------------------------------------------------------------------------------------|:----|:---------|:----|:------------|-----------:|-----------:|
| *   |     | Participant Loans                                                                                                           |     | Interest rates ranging from 3.25% to 9.50% as of December 31, 2024; M