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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, 2012

 

OR

 

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

 

For the transition period from                   to                  

 

Commission file number 1-2360

 

A.            Full title of the plan and address of the plan, if different from that of the issuer named below:

 

IBM 401(k) Plus Plan

Director of Compensation and Benefits

IBM

North Castle Drive, M/D 147

Armonk, New York 10504

 

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

 

INTERNATIONAL BUSINESS MACHINES CORPORATION

New Orchard Road

Armonk, New York 10504

 

 

 



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IBM 401(k) PLUS PLAN

 

Table of Contents

 

 

Page

 

 

Financial Statements and Schedules:

 

 

 

Report of Independent Registered Public Accounting Firm

4

 

 

Financial Statements:

 

 

 

Statements of Net Assets Available for Benefits at December 31, 2012 and 2011

5

 

 

Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2012

6

 

 

Notes to Financial Statements

7

 

 

Supplemental Schedules*:

 

 

 

Schedule G, Part I - Schedule of Loans or Fixed Income Obligations in Default or Classified as Uncollectible

33

 

 

Schedule H, Line 4i - Schedule of Assets (Held at End of Year)

34

 

 

Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)

36

 

Exhibit:

 

Exhibit 23 - Consent of Independent Registered Public Accounting Firm

 


*   Other schedules required by Section 2520.103-10 of the Department of Labor Rules and Regulations for Reporting and Disclosures under the Employee Retirement Income Security Act of 1974 are omitted because they are not applicable.

 

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SIGNATURE

 

The Plan.  Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned thereunto duly authorized.

 

 

 

 

IBM 401(k) Plus Plan

 

 

 

 

 

 

 

 

Date:

June 18, 2013

 

By:

/s/ James J. Kavanaugh

 

 

 

James J. Kavanaugh

 

 

 

Vice President and Controller

 

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Report of Independent Registered Public Accounting Firm

 

To the Members of the International Business Machines Corporation (“IBM”) Retirement Plans Committee and the Participants of the IBM 401(k) Plus Plan:

 

In our opinion, the accompanying statements of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the IBM 401(k) Plus Plan (the “Plan”) at December 31, 2012 and 2011, and the changes in net assets available for benefits for the year ended December 31, 2012 in conformity with accounting principles generally accepted in the United States of America.  These financial statements are the responsibility of the Plan’s management.  Our responsibility is to express an opinion on these financial statements based on our audits.  We conducted our audits of these statements in accordance with the standards of the Public Company Accounting Oversight Board (United States).  Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement.  An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation.  We believe that our audits provide a reasonable basis for our opinion.

 

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole.  The supplemental schedules of loans or fixed income obligations in default or classified as uncollectible, of assets (held at end of year) and of assets (acquired and disposed of within year) are presented for the purpose of additional analysis and are not a required part of the basic financial statements but are supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974.  These supplemental schedules are the responsibility of the Plan’s management.  The supplemental schedules have been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, are fairly stated in all material respects in relation to the basic financial statements taken as a whole.

 

/s/ PricewaterhouseCoopers LLP

 

PricewaterhouseCoopers LLP

New York, NY

June 18, 2013

 

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IBM 401(k) PLUS PLAN

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS

AT DECEMBER 31,

 

 

 

2012

 

2011

 

 

 

(Dollars in thousands)

 

Assets:

 

 

 

 

 

Investments, at fair value (Note 3)

 

$

41,986,768

 

$

37,278,696

 

 

 

 

 

 

 

Receivables:

 

 

 

 

 

Employer contributions

 

35,662

 

38,347

 

Participant contributions

 

24,053

 

25,518

 

Notes receivable from participants

 

323,820

 

326,586

 

Income, sales proceeds and other receivables

 

1,292,054

 

2,480,366

 

Total receivables

 

1,675,589

 

2,870,817

 

 

 

 

 

 

 

Total assets

 

43,662,357

 

40,149,512

 

 

 

 

 

 

 

Liabilities:

 

 

 

 

 

Payable for collateral deposits

 

14,335

 

23,353

 

Accrued expenses and other liabilities

 

2,044,352

 

2,758,432

 

Total liabilities

 

2,058,687

 

2,781,784

 

 

 

 

 

 

 

Net assets at fair value

 

41,603,670

 

37,367,728

 

 

 

 

 

 

 

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

 

(708,476

)

(570,356

)

 

 

 

 

 

 

Net assets available for benefits

 

$

40,895,194

 

$

36,797,372

 

 

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

 

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IBM 401(k) PLUS PLAN

STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS

FOR THE YEAR ENDED DECEMBER 31,

 

 

 

2012

 

 

 

(Dollars in thousands)

 

Additions to net assets attributed to:

 

 

 

 

 

 

 

Investment income:

 

 

 

Net appreciation in fair value of investments (Note 3)

 

$

3,253,798

 

Interest income from investments

 

621,129

 

Dividends

 

255,421

 

 

 

4,130,349

 

 

 

 

 

Interest income on notes receivable from participants

 

13,515

 

 

 

 

 

Contributions:

 

 

 

Participants

 

1,193,777

 

Employer

 

856,653

 

 

 

2,050,430

 

 

 

 

 

Transfers from other benefit plans

 

42,391

 

 

 

 

 

Total additions

 

6,236,685

 

 

 

 

 

Deductions from net assets attributed to:

 

 

 

 

 

 

 

Distributions to participants

 

2,090,493

 

 

 

 

 

Administrative expenses, net

 

48,370

 

 

 

 

 

Total deductions

 

2,138,863

 

 

 

 

 

Net increase in net assets during the year

 

4,097,822

 

 

 

 

 

Net assets available for benefits:

 

 

 

 

 

 

 

Beginning of year

 

36,797,372

 

 

 

 

 

End of year

 

$

40,895,194

 

 

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

 

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IBM 401(k) PLUS PLAN

NOTES TO FINANCIAL STATEMENTS

 

NOTE 1 - DESCRIPTION OF THE PLAN

 

The following description of the IBM 401(k) Plus Plan (the “Plan”) provides only general information.  Participants should refer to the Plan prospectus (Summary Plan Description) for a complete description of the Plan’s provisions.

 

General

 

The Plan was established by resolution of International Business Machines Corporation’s Retirement Plans Committee (the “Committee”) effective July 1, 1983 and Plan assets are held in trust for the benefit of its participants.  The Plan offers all eligible active, full-time and part-time regular and long-term supplemental United States (U.S.) employees of International Business Machines Corporation (“IBM”) and certain of its domestic related companies and partnerships an opportunity to defer from one to eighty percent of their eligible compensation for before-tax 401(k) and/or Roth 401(k) contributions to any of thirty-three primary investment funds and about 165 mutual funds in a “mutual fund window.”  The investment objectives of the primary funds are described in Note 6, Description of Investment Funds.  In addition, participants are able to contribute up to ten percent of their eligible compensation on an after-tax basis.  Roth 401(k) and after-tax contributions are not available for employees working in Puerto Rico.  Annual contributions are subject to the legal limits permitted by Internal Revenue Service (“IRS”) regulations.

 

Participants are provided the choice to enroll in a “disability protection program” under which a portion of the participant’s account is used to pay premiums to purchase term insurance (underwritten by Metropolitan Life Insurance Company), which will pay the amount of their before-tax 401(k) contributions, matching contributions, automatic contributions and/or Special Savings Awards into their accounts in the event the participant becomes disabled while insured.

 

At December 31, 2012 and 2011, the number of participants with an account balance in the Plan was 197,713 and 200,205, respectively.

 

The Plan is dual qualified under Section 401(a) of the Internal Revenue Code of 1986, as amended, and Section 1081.01 of the Internal Revenue Code for a New Puerto Rico (2011).  It is subject to the provisions of the Employee Retirement Income Security Act of 1974 (“ERISA”), as amended.

 

Administration

 

The Plan is administered by the Committee, which appointed certain officials of IBM to assist in administering the Plan.  The Committee appointed State Street Bank and Trust Company (“SSBT”), as Trustee, to safeguard the assets of the funds and State Street Global Advisors (“SSGA”), the institutional investment management affiliate of SSBT, The Vanguard Group and other investment managers to direct investments in the various funds.

 

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Fidelity Investments Institutional Operations Company, Inc. (“Fidelity”) is the provider of record keeping and participant services, operator of the IBM Employee Services Center for the Plan in Raleigh, North Carolina as well as the provider of administrative services related to the mutual fund window.  Communications services were provided by Fidelity as well as The Vanguard Group.

 

Contributions

 

Under the Plan, IBM provides employer contributions for eligible participants as shown in the table below:

 

IBM Pension Plan
Eligibility at 12/31/2007

 

IBM Automatic
Contribution

 

IBM Matching
Contribution

 

Pension Credit Formula

 

4

%

100% on 6% of eligible compensation

 

Personal Pension Account

 

2

%

100% on 6% of eligible compensation

 

New Hires on or after 1/1/2005

 

1

%

100% on 5% of eligible compensation

 

 

IBM employer contributions are based upon the IBM pension formula for which the employee was eligible on December 31, 2007, or on hire date on or after January 1, 2005.  Any employees who terminate employment and are rehired on or after January 1, 2005 will be eligible to participate in the “New Hires on or after 1/1/2005” contribution rates.

 

A contribution equal to five percent of eligible compensation (referred to as a “Special Savings Award”) will be added to the accounts of participants who are non-exempt employees at each year-end  (effective January 1, 2013, the determination will be made on  December 15 and the Special Savings Award will be contributed to eligible participants on the last business day of the year) and who participated in the Pension Credit Formula as of December 31, 2007 and have been continuously employed by IBM since that date.

 

Newly hired employees are automatically enrolled at 5 percent of eligible salary and performance pay after approximately thirty days of employment with IBM, unless they elect otherwise.  After completing one year of service with IBM, they are eligible for the IBM automatic contribution and the IBM matching contribution.  Contributions will be invested in the default Target Date fund that most closely corresponds to the year in which they will reach age 60 unless they elect otherwise.  The match maximizer is an automatic feature that ensures they will receive the full IBM match for their savings level (based on eligible 401(k) deferrals and eligible pay) no matter what their savings patterns are during the year. Any match maximizer amount for which they are eligible will be calculated and added to their account each pay period.

 

Effective January 1, 2013, matching and automatic contributions are made once annually at the end of the year.  In order to receive such contributions each year, a participant must be employed on December 15 of the plan year.  However, if a participant separates from service prior to December 15, and has completed certain service and/or age requirements, then the participant will be eligible to receive such matching and automatic contributions following separation from service.

 

Eligible compensation under the Plan includes regular salary, commissions, overtime, shift premium and similar additional compensation payments for nonscheduled workdays, recurring payments under an employee variable compensation plan, regular IBM Short-Term Disability Income Plan payments, holiday pay and vacation pay, and payments made under any executive incentive compensation plan.  Non-recurring compensation, such as awards, deal team payments and significant signing bonuses are not eligible compensation and cannot be deferred under the Plan.

 

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Participants are able to choose to have their contributions invested entirely in one of, or in any combination of, the following funds or in the mutual fund window funds, in multiples of one percent.  These funds and their investment objectives are more fully described in Note 6, Description of Investment Funds.

 

Life Cycle Funds (14)

Target Date 2005 Fund

Target Date 2010 Fund

Target Date 2015 Fund

Target Date 2020 Fund

Target Date 2025 Fund

Target Date 2030 Fund

Target Date 2035 Fund

Target Date 2040 Fund

Target Date 2045 Fund

Target Date 2050 Fund

Income Plus Life Strategy Fund

Conservative Life Strategy Fund

Moderate Life Strategy Fund

Aggressive Life Strategy Fund

 

Core Funds (7)

Interest Income Fund (Prior to February 29, 2012, named Stable Value Fund)
Inflation Protected Bond Fund

Total Bond Market Fund

Total Stock Market Index Fund

Total International Stock Market Index Fund

Real Estate Investment Trust (REIT) Index Fund

International Real Estate Index Fund

 

Expanded Choice Funds (12)

Long-Term Corporate Bond Fund

High Yield and Emerging Markets Bond Fund

Large Company Index Fund

Large-Cap Value Index Fund

Large-Cap Growth Index Fund

Small/Mid-Cap Stock Index Fund

Small-Cap Value Index Fund

Small-Cap Growth Index Fund

European Stock Index Fund

Pacific Stock Index Fund

Emerging Markets Stock Index Fund

IBM Stock Fund

 

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The Plan participants also have access to the “mutual fund window” investment options.

 

Participants may change their deferral percentage and investment selection for future contributions at any time.  The changes will take effect for the next eligible pay cycle if the request is completed before the applicable cutoff date.  Also, participants may transfer part or all of existing account balances among funds in the Plan once daily, subject to the Plan restrictions on trading.

 

The Committee is committed to preserving the integrity of the Plan as a long-term savings vehicle for its employees.  Frequent, short-term trading that is intended to take advantage of pricing lags in funds can harm long-term investors, or increase trading expenses in general.  Therefore, the Plan has implemented frequent trading transaction restrictions and reserves the right to take other appropriate action to curb short-term transactions (buying/selling).

 

Participant Accounts

 

The Plan record keeper maintains an account in the name of each participant to which each participant’s contributions and share of the net earnings, losses and expenses, if any, of the various investment funds are recorded.  The earnings on the assets held in each of the funds and all proceeds from the sale of such assets are held and reinvested in the respective funds.

 

Participants may transfer rollover contributions of before-tax and Roth 401(k) amounts from other qualified savings plans or Individual Retirement Accounts into their Plan account.  Rollovers must be made in cash within the time limits specified by the IRS; stock or in-kind rollovers are not accepted.  These rollovers are limited to active employees on the payroll of IBM (or affiliated companies) who have existing accounts in the Plan.  Retirees are not eligible for such rollovers, except that a retiree or separated employee who has an existing account in the Plan may rollover a lump-sum distribution from an IBM-sponsored qualified retirement plan, including the IBM Personal Pension Plan.  After-tax amounts may also be directly rolled over into the Plan from another qualified savings plan.

 

On each valuation date, the unit/share value of each fund is determined by dividing the current investment value of the assets in that fund on that date by the number of units/shares in the fund.  The participant’s investment value of assets equals the market value of assets for all funds except the Interest Income Fund (effective February 29, 2012; previously Stable Value Fund) for which the participant’s investment value of assets equals the contract value of assets.  In determining the unit/share value, new contributions that are to be allocated as of the valuation date are excluded from the calculation.  On the next day, the cash related to new contributions is transferred into the fund and the number of additional units to be credited to a participant’s account for each fund, due to new contributions, is equal to the amount of the participant’s new contributions to the fund divided by the prior night’s unit value.

 

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Contributions (with the exception of after-tax contributions and Roth 401(k) contributions) made to the Plan, as well as interest, dividends, or other earnings of the Plan are generally not included in the taxable income of the participant until withdrawal, at which time all earnings and contributions withdrawn generally are taxed as ordinary income to the participant.  Additionally, withdrawals by the participant before attaining age 59 1/2 generally are subject to a penalty tax of 10 percent.  After-tax contributions made to the Plan are not tax deferred, but are taxable income prior to the participant making the contribution.  Any interest, dividends or other earnings on the after-tax contributions are generally not included in the taxable income of the participant until withdrawal, at which time all earnings withdrawn are generally taxed as ordinary income to the participant.  Any distribution of earnings on after-tax contributions that are withdrawn by the participant before attaining age 59 1/2 generally are subject to a penalty tax of 10 percent.  Roth 401(k) contributions are not deferred, but are taxable income prior to the participant making the contribution.  Interest, dividends or other earnings on Roth 401(k) contributions may not be taxable at withdrawal provided the participant has met the applicable rules.

 

Consistent with provisions established by the IRS, the Plan’s 2012 limit on employee salary and performance pay deferrals was $17,000.  (The limit for 2013 is $17,500.)  Participants who were age 50 or older during 2012 could take advantage of a higher 401(k) contribution limit of $22,500 ($23,000 for 2013).  The 2012 maximum annual deferral amount for employees residing in Puerto Rico was limited by local government regulations to $17,000.  (The Puerto Rico limit for 2013 is $17,500.)  Puerto Rico participants who were age 50 or older in 2012 could take advantage of a higher contribution limit of $18,500 ($19,000 for 2013).

 

Vesting

 

Participants in the Plan are at all times fully vested in their account balance, including employee contributions, employer contributions and earnings thereon, if any.

 

Distributions

 

Participants who have attained age 59 1/2 may request a distribution of all or part of the value in their account.  A maximum of four distributions are allowed each year and the minimum amount of any such distribution shall be the lesser of the participant’s account balance or $500.

 

In addition, participants who (1) retire under the prior IBM Retirement Plan provisions of the IBM Personal Pension Plan, or (2) become eligible for benefits under the IBM Long-Term Disability Plan or the IBM Medical Disability Income Plan, or (3) separate from IBM and have attained age 55, may also elect to receive the balance of their account in annual installments over a period not to exceed twenty years.

 

Withdrawals for financial hardship are permitted provided they are for an immediate and significant financial need, and the distribution is necessary to satisfy that need.  Employees are required to fully use the Plan loan program, described below, before requesting a hardship withdrawal.  Only an employee’s contributions are eligible for hardship withdrawal; earnings on before-tax 401(k) and Roth 401(k), and IBM contributions (match, automatic, transition credits and Special Savings Award) are not

 

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eligible for withdrawal.  Employees must submit evidence of hardship to the record keeper who will determine whether the situation qualifies for a hardship withdrawal based on guidance from the Plan administrator.   A hardship withdrawal is taxed as ordinary income to the employee and may be subject to the 10 percent additional tax on early distributions.

 

If the participant dies and is married at the time of death, the participant’s spouse must be the beneficiary of the participant’s Plan account, unless the participant’s spouse has previously given written, notarized consent to designate another person as beneficiary.  If the participant marries or remarries, any prior beneficiary designation is canceled and the spouse automatically becomes the beneficiary.  If the participant is single, the beneficiary may be anyone previously designated by the participant under the Plan.  In the absence of an effective designation under the Plan at the time of death, the proceeds normally will be paid in the following order:  the participant’s spouse, the participant’s children in equal shares, or to surviving parents equally.  If no spouse, child, or parent is living, payments will be made to the executors or administrators of the participant’s estate.

 

After the death of a participant, an account will be established for the participant’s beneficiary.  If the beneficiary is a spouse or domestic partner, the beneficiary’s account may be maintained in the Plan, subject to IRS Minimum Required Distribution rules.  If the beneficiary is neither a spouse nor a domestic partner, the account will be paid to the beneficiary in a lump sum.  Beneficiaries may rollover distributions from the Plan.

 

Participant Loans

 

Participants may borrow up to one-half of the value of their account balance, not to exceed $50,000, within a twelve month period.  Loans will be granted in $1 increments subject to a minimum loan amount of $500.  Participants are limited to two simultaneous outstanding Plan loans.  Repayment of a loan is made through semi-monthly payroll deductions.  Loans originated under the Plan have a repayment term of one to four years for a general purpose loan or one to ten years for a primary residence loan.  There are a limited number of outstanding loans originated under acquired company plans that were merged into the Plan having repayment terms greater than 10 years and up to a maximum term of 30 years.  The loans originated under the Plan bear a fixed rate of interest, set quarterly, for the term of the loan, determined by the plan administrator to be 1.25 points above the prime rate.  The interest is credited to the participant’s account as the semi-monthly repayments of principal and interest are made.  Interest rates on outstanding loans at December 31, 2012 and 2011 ranged from 3.25 percent to 11.00 percent.

 

Participants may prepay the entire remaining loan principal at any time.  Employees on an approved leave of absence may elect to make scheduled loan payments directly to the Plan.  Participants may continue to contribute to the Plan while having an outstanding loan.  A loan default is a taxable event to the participant and will be reported as such in the year of the loan default.

 

Participants who retire or separate from IBM and have outstanding Plan loans may make loan repayments via coupon payments or  ACH deductions to continue monthly loan repayments according to their original amortization schedule.

 

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Termination of Service

 

If the value of a participant’s account is $1,000 or less, it will be distributed to the participant in a lump-sum payment following the termination of the participant’s employment with IBM.  If the account balance is greater than $1,000 at the time of separation, the participant may defer distribution of the account until age 70 ½.

 

Termination of the Plan

 

IBM reserves the right to terminate this Plan at any time by action of the Board of Directors of IBM.  In that event, each participant or beneficiary receiving or entitled to receive payments under the Plan would receive the balance of the account at such time and in accordance with applicable law and regulations.  In the event of a full or partial termination of the Plan, or upon complete discontinuance of contributions under the Plan, the rights of all affected participants in the value of their accounts would be non-forfeitable.

 

Risks and Uncertainties

 

The Plan provides for various investment options in the form of mutual funds, commingled funds or separately-managed funds. These funds invest in equities, fixed income securities, synthetic guaranteed investment contracts (“synthetic GICs”) and derivative contracts.  Investment securities are exposed to various risks, such as interest rate movements, credit quality changes and overall market volatility.  Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is reasonably possible that changes in risks in the near term could materially affect participants’ account balances and the amounts reported in the statement of net assets available for benefits.  The Plan is potentially exposed to credit loss in the event of non-performance by the companies with whom the synthetic GICs are placed.  However, the Committee does not anticipate non-performance by these companies at this time.

 

NOTE 2 - SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

 

Basis of Presentation

 

The accompanying financial statements are prepared under the accrual basis of accounting, except distributions, which are recorded when paid.  Notes receivable from participants are measured at their unpaid principal balance plus any accrued interest.  Within the financial tables presented, certain columns and rows may not add due to the use of rounded numbers for disclosure purposes.

 

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Use of Estimates

 

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts of assets, liabilities and changes therein, and disclosures of contingent assets and liabilities at the date of the financial statements.  Actual results could differ from those estimates.

 

Investment Contracts

 

Investment contracts held by a defined contribution plan are reported at fair value. However, contract value is the relevant measurement attribute for that portion of the net assets available for benefits of a defined contribution 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.  Contract value represents contributions made to investment contracts plus interest at the contract rates less withdrawals and administrative expenses.  The statements of net assets available for benefits present the fair value of the investment in the Interest Income Fund as well as the adjustment from fair value to contract value for the fully benefit responsive investment contracts within the Interest Income Fund as of December 31, 2012 (Stable Value Fund as of December 31, 2011).  The statement of changes in net assets available for benefits presents these investments on a contract value basis.

 

Valuation of Investments

 

The Plan’s investments are stated at fair value, which is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.  Under fair value measurement guidance, the Plan is required to classify certain assets and liabilities based on the fair value hierarchy.  The framework establishes a three-level fair value hierarchy based on the nature of the information used to measure fair value.  These levels are accounting terms that refer to different methods of valuing assets and do not represent relative risk or credit quality of an investment.  The levels of assets are as follows:

 

· Level 1 — Quoted prices in active markets that are unadjusted and accessible at the measurement date for identical, unrestricted assets or liabilities;

 

· Level 2 — Quoted prices for identical assets and liabilities in markets that are not active, quoted prices for similar assets and liabilities in active markets or financial instruments for which significant inputs are observable, either directly or indirectly; and

 

· Level 3 — Prices or valuations that require inputs that are both significant to the fair value measurement and unobservable, including the Plan’s own assumptions in determining fair value.

 

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Assets are classified within the fair value hierarchy according to the lowest level input that is significant to the fair value measurement. Valuation techniques used maximize the use of observable inputs and minimize the use of unobservable inputs.  A security that is categorized as level 3 is valued using the last available market price or a price from an alternate pricing source.  The valuation methodology is applied consistently from period to period.

 

Investments in mutual funds and commingled funds are valued at the net asset values per share using available inputs to measure fair value by such companies or funds as of the valuation date. Generally, mutual funds have a quoted market price in an active market and are classified as Level 1 and commingled funds are classified as Level 2 based upon observable data.

 

Common stocks and financial derivative instruments, such as futures contracts or options contracts that are traded on a national securities exchange are stated at the last reported sale or settlement price on the day of valuation.  Valuation adjustments may be applied to certain securities that are solely traded on a foreign exchange to account for the market movement between the close of the foreign market and the close of the New York Stock Exchange. These securities are valued using pricing service providers that consider the correlation of the trading patterns of the foreign security to the intraday trading in the U.S. markets for investments.

 

Fixed income investments are valued on the basis of valuations furnished by Trustee-approved independent pricing services. These services determine valuations for normal institutional-size trading units of such securities using models or matrix pricing, which incorporates yield and/or price with respect to bonds that are considered comparable in characteristics such as rating, interest rate and maturity date and quotations from bond dealers to determine current value. If these valuations are deemed to be either not reliable or not readily available, the fair value will be determined in good faith by the Trustee.

 

Over-the-counter derivatives are typically valued using proprietary pricing models that use as their basis readily observable market parameters — that is, parameters that are actively quoted and can be validated to external sources, including industry pricing services. Depending on the types and contractual terms of derivatives, fair value can be modeled using a series of techniques, such as the Black-Scholes option pricing model, simulation models or a combination of various models, which are consistently applied. Where derivative products have been established for some time, the Plan uses models that are widely accepted in the financial services industry. These models reflect the contractual terms of the derivatives, including the period to maturity, and market-based parameters such as interest rates, volatility, and the credit quality of the counterparty. Further, many of these models do not contain a high level of subjectivity, as the methodologies used in the models do not require significant judgment, and inputs to the model are readily observable from actively quoted markets, as is the case for “plain vanilla” interest rate swaps, option contracts and credit default swaps.

 

Interest bearing cash securities are valued at amortized cost, which includes cost and accrued interest and approximates fair value.

 

The methods described above may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values.  Furthermore, while the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine fair value of certain financial instruments could result in a different fair value measurement at the reporting date.

 

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Security Transactions and Related Investment Income

 

Security transactions are recorded on a trade-date basis.  Dividend income is recorded on the ex-dividend date and interest income is recorded on the accrual basis.

 

The Plan presents in the Statement of Changes in Net Assets Available for Benefits the net change in the fair value of its investments, which consists of realized gains and losses and the unrealized appreciation and depreciation on those investments.

 

Administrative Expenses and Investment Management Fees

 

Participants pay for administrative expenses of the Plan which are included in each fund’s expense ratio.  These costs include (a) investment management, custody and benefit responsive investment contracts fees which are charged to the applicable funds and (b) operational expenses required for administration of the Plan including trustee and recordkeeping which are charged against the funds’ assets on a pro rata basis throughout the year.  Operational expenses related to balances in the Mutual Fund Window are deducted from participant account balances. Brokerage fees, and commissions are included in the cost of investments and in determining net proceeds on sales of investments.  Investment management, custody and administrative fees for commingled trusts and mutual funds are charged based on a percentage of net asset value and are paid from the assets of the respective funds.

 

Standards to be Implemented

 

In December 2011 and January 2013, the Financial Accounting Standards Board (FASB) issued additional disclosure requirements and amended guidance for offsetting and related arrangements.  These additional requirements will become effective for the year ending December 31, 2013 and are not expected to have a material impact on the Plan’s Financial Statements.

 

Standards Implemented

 

In May 2011, the FASB issued amended guidance and disclosure requirements for fair value measurements.  These amendments did  not have a material impact on the Plan’s Financial Statements.

 

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Table of Contents

 

NOTE 3 — INVESTMENTS

 

The following schedules summarize the fair value of investments within the fair value hierarchy, level 3 gains and losses, investments that represent 5 percent or more of the Plan’s net assets and the related net change in the fair value of investments by type of investment.

 

The following tables set forth by level, within the fair value hierarchy, the Plan’s investments at fair value at December 31, 2012 and 2011.

 

Investments at Fair Value as of December 31, 2012

 

(Dollars in Thousands)

 

Level 1

 

Level 2

 

Level 3

 

Total

 

 

 

 

 

 

 

 

 

 

 

Equity:

 

 

 

 

 

 

 

 

 

Equity commingled/mutual funds

 

$

2,588,283

 

$

11,228,774

 

$

 

 

$

13,817,058

 

IBM Corporation common stock

 

2,504,527

 

 

 

 

 

2,504,527

 

International equity securities

 

386,482

 

2,921,483

 

 

 

3,307,965

 

US large-cap equity securities

 

729,182

 

 

 

 

 

729,182

 

US mid-cap equity securities

 

2,040,336

 

 

 

 

 

2,040,336

 

US small-cap equity securities

 

1,206,692

 

 

 

 

 

1,206,692

 

 

 

 

 

 

 

 

 

 

 

Fixed income:

 

 

 

 

 

 

 

 

 

Government securities rated A or higher

 

 

 

10,156,571

 

528

 

10,157,099

 

Government securities rated below A

 

 

 

360,651

 

 

 

360,651

 

Corporate bonds rated A or higher

 

 

 

1,093,707

 

 

 

1,093,707

 

Corporate bonds rated below A

 

 

 

2,063,104

 

577

 

2,063,471

 

Mortgage and asset-backed securities

 

 

 

795,282

 

6,564

 

801,846

 

Fixed income commingled/mutual funds

 

1,526,599

 

575,287

 

 

 

2,101,887

 

Investment contracts

 

 

 

16,899

 

 

 

16,899

 

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

35,592

 

976,599

 

 

 

1,012,401

 

 

 

 

 

 

 

 

 

 

 

Derivatives

 

4,597

 

(5,493

)

 

 

(896

)

 

 

 

 

 

 

 

 

 

 

Other commingled/mutual funds

 

458,880

 

315,064

 

 

 

773,944

 

Total investments at fair value

 

$

11,481,171

 

$

30,497,927

 

$

7,670

 

$

41,986,768

 

 

There were no transfers between levels 1 and 2.

 

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Table of Contents

 

Investments at Fair Value as of December 31, 2011

 

(Dollars in Thousands)

 

Level 1

 

Level 2

 

Level 3

 

Total

 

 

 

 

 

 

 

 

 

 

 

Equity:

 

 

 

 

 

 

 

 

 

Equity commingled/mutual funds

 

$

2,032,370

 

$

9,953,854

 

$

 

 

$

11,986,224

 

IBM Corporation common stock

 

2,462,501

 

 

 

 

 

2,462,501

 

International equity securities

 

431,572

 

2,415,410

 

 

 

2,846,981

 

US large-cap equity securities

 

583,292

 

 

 

 

 

583,292

 

US mid-cap equity securities

 

1,704,952

 

 

 

 

 

1,704,952

 

US small-cap equity securities

 

1,187,075

 

 

 

 

 

1,187,075

 

 

 

 

 

 

 

 

 

 

 

Fixed income:

 

 

 

 

 

 

 

 

 

Government securities rated A or higher

 

 

 

8,046,879

 

 

 

8,046,879

 

Government securities rated below A

 

 

 

338,363

 

 

 

338,363

 

Corporate bonds rated A or higher

 

 

 

1,108,909

 

348

 

1,109,257

 

Corporate bonds rated below A

 

 

 

2,210,664

 

10,327

 

2,220,986

 

Mortgage and asset-backed securities

 

 

 

1,156,850

 

6,710

 

1,163,560

 

Fixed income commingled/mutual funds

 

1,224,163

 

581,014

 

 

 

1,805,178

 

Investment contracts

 

 

 

24,671

 

 

 

24,671

 

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

57,788

 

1,144,182

 

 

 

1,201,975

 

 

 

 

 

 

 

 

 

 

 

Derivatives

 

(5,678

)

(8,392

)

 

 

(14,070

)

 

 

 

 

 

 

 

 

 

 

Other commingled/mutual funds

 

340,201

 

270,671

 

 

 

610,872

 

Total investments at fair value

 

$

10,018,237

 

$

27,243,074

 

$

17,384

 

$

37,278,696

 

 

There were no significant transfers between levels 1 and 2.

 

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Table of Contents

 

The Plan has holdings in commingled funds as noted in the tables above.  Generally, under ordinary market conditions, investments by participants in investment funds with underlying holdings in commingled funds provide daily market liquidity to Plan participants and the Plan.  The Plan invests in several commingled funds, in which participant transactions (issuances and redemptions) may occur daily.  Investment in some of these funds may be subject to redemption restrictions, at the commingled fund’s discretion in limited situations.  At December 31, 2012 and 2011, no commingled funds were subject to redemption restrictions.

 

Level 3 Gains and Losses

 

The following table presents the changes in the fair value of the plan’s level 3 investments for the year ended December 31, 2012:

 

(Dollars in Thousands)

 

Government
Securities
Rated A or
Higher

 

Corporate
Bonds Rated A
or Higher

 

Corporate
Bonds Rated
Below A

 

Mortgage and
Asset-Backed
Securities

 

Total

 

 

 

 

 

 

 

 

 

 

 

 

 

Balance at January 1

 

$

 

 

$

348

 

$

10,327

 

$

6,710

 

$

17,384

 

Unrealized gains/(losses) on assets held at end of year*

 

82

 

 

 

360

 

79

 

522

 

Realized gains/(losses)*

 

143

 

(16

)

10

 

(13

)

124

 

Purchases

 

 

 

 

 

 

 

 

 

 

 

Sales

 

(1,900

)

(1,034

)

(136

)

(2,674

)

(5,744

)

Transfers into Level 3**

 

2,204

 

702

 

 

 

6,595

 

9,501

 

Transfers out of Level 3***

 

 

 

 

 

(9,984

)

(4,134

)

(14,118

)

Balance at December 31

 

$

528

 

$

0

 

$

577

 

$

6,564

 

$

7,670

 

 


*Reported in the net change in fair value of investments in the Statement of Changes in Net Assets Available for Benefits.

**Transferred from Level 2 to Level 3 because observable market data was not available for the securities.

***Transferred from Level 3 to Level 2 because observable market data became available for the securities.

 

The Plan’s policy is to recognize transfers in and transfers out at the beginning of the period.

 

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Table of Contents

 

Investments — Five Percent or More of Plan’s Net Assets

 

The investments that represent 5 percent or more of the Plan’s net assets available for benefits at December 31, 2012 and 2011 are as follows:

 

Investments

 

2012

 

2011

 

 

 

(Dollars in thousands)

 

 

 

 

 

 

 

Large Company Index Fund (Vanguard Employee Benefit Index Fund)

 

$

4,195,821

 

$

3,766,587

 

Total Stock Market Index Fund (Vanguard Total Stock Market Index Trust)

 

4,011,363

 

3,462,292

 

IBM Common Stock

 

2,504,527

 

2,462,501

 

 

Net Change in Fair Value of Investments

 

The following table represents the Net Change in Fair Value of Investments (including gains and losses on investments bought and sold, as well as held during the year):

 

 

 

2012

 

 

 

(Dollars in thousands)

 

Investments at fair value:

 

 

 

Commingled / Mutual Funds

 

$

1,956,925

 

Equity Securities

 

1,093,065

 

Fixed Income Securities

 

203,808

 

Total

 

$

3,,253,798

 

 

NOTE 4 — DERIVATIVES

 

In accordance with the investment strategy of the separately-managed funds and the Interest Income Fund (effective February 29, 2012; previously Stable Value Fund), investment managers execute transactions in various derivative instruments.  These derivative instruments include swaps, options, bond and equity futures and forward contracts.  The use of derivatives is permitted principally to gain or reduce exposure or execute an investment strategy more efficiently.  The investment managers use these derivative instruments to manage duration and interest rate volatility and exposure to credit, currency, equity, and cash.

 

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Table of Contents

 

Within the fixed income funds, the investment managers either sell or purchase credit protection through credit default swaps.  The investment managers also enter into interest rate swap transactions where a series of fixed versus floating rate amounts are exchanged.

 

Derivatives may be executed on exchange traded investment instruments or via over the counter (OTC) transactions.  When an OTC contract is executed, there is exposure to credit loss in the event of non-performance by the counterparties to these transactions. IBM manages this exposure through the credit criteria included in the investment guidelines and monitors and reports market and counterparty credit risks associated with these instruments. The Plan’s investment managers negotiate and enter into collateral and netting agreements with counterparties on the Plan’s behalf.  In the event of a counterparty default, these agreements reduce the potential loss to the Plan.   These arrangements define the nature of the collateral (cash or U.S. Treasury securities) and the established thresholds for when additional collateral is required by either party. For OTC transactions, the Plan has posted collateral of $23 million and $32 million and received collateral of $11 million and $21 million at December 31, 2012 and 2011, respectively.   In addition, for exchange traded transactions, the Plan has posted $9 million and $21 million of collateral as of December 31, 2012 and 2011, respectively and received no collateral at December 31, 2012 and 2011.  Derivative collateral received is recorded in Investments, at fair value and Payable for collateral deposits in the Statements of Net Assets Available For Benefits.  Derivative collateral posted is recorded in Investments, at fair value in the Statements of Net Assets Available For Benefits.

 

Market risk arises from the potential for changes in value of financial instruments resulting from fluctuations in interest and foreign exchange rates and in prices of debt and equity securities.  The notional (or contractual) amounts used to express the volume of these transactions do not necessarily represent the amounts potentially subject to market risk.

 

All derivative financial instruments are carried at fair value.  The net fair value of derivative financial instruments was a liability of $3 million and $14 million as of December 31, 2012 and 2011.

 

The Plan has authorized Investment Managers to use specific derivative instruments in the implementation of their investment strategy for financial instruments that are managed by the Plan.  The following section discloses how these derivatives may be used, their fair value and financial position at year-end, and the risks associated with each.  Exchange traded derivatives, including futures and options, are regulated by the exchange and approved broker dealers.  OTC derivatives include foreign currency forward contracts, options, and swaps. These transactions will be contracted between two counterparties and governed by separate agreements.  A description of these instruments and the risks are below.

 

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Table of Contents

 

Futures Contracts

 

Futures contracts are standardized agreements to buy or sell a specific amount of a financial instrument on a future date for a specified price.  Futures are valued based upon their quoted daily price.  The primary risks associated with futures are the accuracy of the correlation between the value of bonds or equities and the price of the futures contracts. Futures contracts may be used to equitize cash and manage exposure to changes in interest rates. Upon entering into a futures contract, the investment manager is required to deposit collateral or initial margin and subsequent margin payments are moved daily depending on the value of the contract. Futures contracts may be subject to risk of loss in excess of the daily variation margin.  They are classified as either interest rate or equity contracts on the derivative instrument tables that follow.

 

Options Contracts

 

Options include equity options, index options, options on swaps (swaptions), and options on futures. Options are contracts that give the owner the right, but not the obligation, to buy or sell an asset at a specified price (strike price) on a future date. Options may be purchased or written to help manage exposure to the securities markets. Investment managers may write (sell) call and put options and the premiums received from writing options which expire are treated as realized gains.  Premiums received from a position which is exercised/closed are offset against the amount paid for the underlying security to calculate the gain or loss. An option writer (seller) has no control over whether the underlying instrument may be sold (call) or purchased (put) and bears the market risk of an unfavorable change in the price of the underlying instrument.  Investment managers may also purchase put and call options. Purchasing call options is intended to increase exposure to the underlying instrument, while purchasing put options would tend to decrease exposure to the underlying issue. Premiums paid for purchasing options which expire are realized losses. The risk associated with purchasing put and call options is limited to the premium paid.  Options may be traded on an exchange or OTC.  For OTC options, the Plan could be exposed to risk if the counterparties are unable to meet the terms of the contracts. This risk is mitigated by the posting of collateral by the counterparty and monitored against the contract terms.  Options are classified as interest rate or foreign exchange contracts on the derivative instruments tables that follow.

 

Foreign Currency Forwards

 

A foreign currency forward is a contract between two parties to exchange money denominated in one currency into another currency at a set price on a specified future date. Foreign currency forwards are used to hedge the currency exposure, as a part of an investment strategy, or in connection with settling transactions.  Foreign currency contracts may involve market risk in excess of the unrealized gain or loss. Forward transactions are typically not collateralized. The Plan could be exposed to risk if the counterparties are unable to meet the terms of the contracts.

 

Swap Agreements

 

Swap agreements are privately negotiated contracts to exchange investment cash flows at a future date based on the underlying value of the assets.   Swap agreements involve elements of credit, market, and documentation risk. The Plan could be exposed to risk if the counterparties are unable to meet the terms of the contracts. This risk is mitigated by the posting of collateral by the counterparty and monitored against the contract terms.  Swap agreements may be centrally cleared or traded OTC.  For OTC swap agreements, the Plan could be exposed to risk if the counterparties are unable to meet the terms of the contracts. This risk is mitigated by the posting of collateral by the counterparty and monitored against the contract terms.  Swap agreements are classified as interest rate or credit contracts on the derivative instruments tables that follow.

 

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Table of Contents

 

Interest Rate Swaps

 

An Interest rate swap is an agreement in which two parties exchange cash flows based upon a notional principal amount and pay or receive fixed or floating rate amounts of interest. One party exchanges a stream of fixed interest payments for another party’s stream of floating interest payments.  Investment managers may enter into interest rate swap agreements to help hedge against interest rate risk and to maintain its ability to generate income at prevailing market rates. Interest rate swaps expose users to interest rate risk and credit risk.  The notional value of an interest rate swap is not at risk.

 

Credit Default Swaps

 

Credit default swaps are agreements where one party (the buyer of protection) makes payments to another party (seller of protection) in exchange for the right to receive a specified return in the event of a default or other credit event.  Investment managers may use credit default swaps to provide a measure of protection against defaults of the issuers or to gain or reduce exposure to a particular credit exposure.  The typical term of an agreement is five years.  If an investment manager is a buyer of protection and a credit event occurs, the portfolio will either receive from the seller of protection an amount equal to the notional amount of the swap or receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation.  If an investment manager is a seller of protection and a credit event occurs, the portfolio will either pay to the buyer of protection an amount equal to the notional amount of the swap or pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation.  The maximum potential amount of future payments that the Plan as a seller could be required to make is $133 million.  Credit default swaps are considered to have credit risk-related contingent features since they require payment by the protection seller upon the occurrence of a defined credit event.

 

Total Return Swaps

 

A Total Return Swap allows one party to derive the economic benefit of owning an asset without putting that asset on its balance sheet, and allows the other party, which does retain the asset on its balance sheet, to buy protection against loss in value.  Investment managers may enter into Total Return Swaps to gain/reduce exposure on the Referenced Asset.   These transactions are primarily found within the commingled commodities fund.

 

The following tables provide a quantitative summary of the derivative activity as of December 31, 2012 and 2011 and for the year ended December 31, 2012.

 

23


 


Table of Contents

 

Fair Values of Derivative Instruments on Statements of Net Assets Available for Benefits

 

(Dollars in Thousands)

 

 

 

Notional/

 

 

 

 

 

 

 

contractual

 

 

 

 

 

At December 31, 2012:

 

amount

 

Assets *

 

Liabilities *

 

 

 

 

 

 

 

 

 

Interest rate contracts

 

$

1,781,750

 

$

578,534

 

$

(584,247

)

Foreign exchange contracts

 

517,838

 

1,805

 

(3,119

)

Credit contracts

 

221,455

 

226,681

 

(223,002

)

Equity contracts

 

135,061

 

2,452

 

 

Carrying value of derivatives on the statement of net assets available for benefits

 

 

 

$

809,472

 

$

810,368

 

 

 

 

Notional/

 

 

 

 

 

 

 

contractual

 

 

 

 

 

At December 31, 2011:

 

amount

 

Assets *

 

Liabilities *

 

 

 

 

 

 

 

 

 

Interest rate contracts

 

$

2,379,158

 

$

204,900

 

$

(220,461

)

Foreign exchange contracts

 

621,890

 

7,529

 

(5,549

)

Credit contracts

 

277,910

 

46,996

 

(47,015

)

Equity contracts

 

89,733

 

(471

)

 

Carrying value of derivatives on the statement of net assets available for benefits

 

 

 

$

258,954

 

$

273,024

 

 


* Reported in Investments, at fair value

 

The Effect of Derivative Instruments on the Statement of Changes in Net Assets Available for Benefits

 

(Dollars in Thousands)

 

For the year ended December 31, 2012 *

 

 

 

 

 

Interest rate contracts

 

$

(8,045

)

Foreign exchange contracts

 

(3,139

)

Credit contracts

 

(2,346

)

Equity contracts

 

15,537

 

Total net gain

 

$

2,006

 

 


* Reported in Net change in fair value of investments

 

24



Table of Contents

 

NOTE 5 — INVESTMENT CONTRACTS

 

The Plan entered into benefit-responsive synthetic investment contracts (“synthetic GICs”), through the Interest Income Fund (prior to February 29, 2012, Stable Value Fund— “the Fund”), with various third parties, i.e., insurance companies and banks.   Contract value represents contributions made to investment contracts, plus interest at the contract rates, less withdrawals and administrative expenses.  The fair value of the synthetic GICs was determined using a discounted cash flow model which considers recent rebids as determined by recognized dealers, a discount rate and the duration of the underlying portfolio.

 

A synthetic GIC provides for a fixed return on principal over a specified period of time, e.g., a quarterly crediting rate.  These investment contracts, which are backed by underlying assets owned by the Plan, are issued by third parties and are meant to be fully benefit-responsive.  Synthetic GICs accrue interest using a formula called the “crediting rate.”  Synthetic GICs use the crediting rate formula to smooth and decrease differences over time between the market value of the covered assets and the contract value.  The crediting rate is most impacted by the change in the annual effective yield to maturity of the underlying securities, but is also affected by changes in general level of interest rates and cash flows into or out of the contract.  The difference between the contract value and the market value of the covered assets is amortized over the synthetic GIC’s actual or benchmark duration, in accordance with the contract. A change in duration of the covered assets from reset period to reset period can affect the speed with which any difference is amortized.  Crediting rates are reset quarterly or more often if deemed appropriate.  Synthetic GICs provide a guarantee that the crediting rate will not fall below zero percent.

 

A synthetic GIC crediting rate, and hence the Fund’s return, may be affected by many factors, including purchases and redemptions by participants.  The precise impact on the synthetic GIC depends on whether the market value of the covered assets is higher or lower than the contract value of those assets.  If the market value of the covered assets is higher than the contract value, the crediting rate will ordinarily be higher than the yield of the covered assets.  Under these circumstances, cash from new investors will tend to lower the crediting rate and the Fund’s return, and redemptions by existing participants will tend to increase the crediting rate and the Fund’s return.  If the market value of the covered assets is less than the contract value, the crediting rate will ordinarily be lower than the yield of the covered assets.  Under these circumstances, cash from new investors will tend to increase the crediting rate and the Fund’s return, and redemptions by existing participants will tend to decrease the crediting rate and the Fund’s return. If the synthetic GIC experiences significant redemptions when the market value is below the contract value, the synthetic GIC’s crediting rate may be reduced significantly, to a level that may not be competitive with other investment options. If redemptions continued, the crediting rate could be reduced to zero.  If the synthetic GIC has insufficient covered assets to meet redemption requests, the Fund would require payments from the investment contract issuer to pay further participant redemptions.

 

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Table of Contents

 

The Fund and the investment contracts purchased by the Fund are designed to pay all participant-initiated transactions at contract value.  Participant-initiated transactions are those transactions allowed by the provisions of the Plan (typically this would include withdrawals for benefits, loans, or transfers to non-competing funds within the Plan).  However, the investment contracts may limit the ability of the Fund to transact at contract value upon the occurrence of certain events.  At this time, the occurrence of any of these events is not probable.  These events include:

 

·                  The Plan’s failure to qualify under Section 401(a) or Section 401(k) of the Internal Revenue Code.

 

·                  The establishment of a defined contribution plan that competes with the Plan for employee contributions.

 

·                  Any substantive modification of the Plan or the administration of the Plan that is not consented to by the investment contract issuer.

 

·                  Complete or partial termination of the Plan.

 

·                  Any change in law, regulation or administrative ruling applicable to the Plan that could have a material adverse effect on the Fund’s cash flow.

 

·                  Merger or consolidation of the Plan with another plan, the transfer of plan assets to another plan, or the sale, spin-off or merger of a subsidiary or division of the plan sponsor.

 

·                  Any communication given to participants by the Plan sponsor or any other plan fiduciary that is designed to induce or influence participants not to invest in the Fund or to transfer assets out of the Fund.

 

·                  Exclusion of a group of previously eligible employees from eligibility in the Plan.

 

·                  Any significant retirement program, group termination, group layoff, facility closing or similar program.

 

·                  Any transfer of assets from the Fund directly to a competing option, if such transfers are prohibited.

 

·                  Bankruptcy of the plan sponsor or other plan sponsor events which cause a significant withdrawal from the Plan.

 

An investment contract issuer may terminate a contract at any time.  In the event that the market value of the covered assets is below the contract value at the time of such termination, the Plan may elect to keep a contract in place to allow for the convergence of the market value and the contract value.  An investment contract issuer may also terminate a contract if certain terms of the investment contract fail to be met.

 

Investment contracts generally impose conditions on both the Plan and the issuer.  If an event of default occurs and is not cured, the non-defaulting party may terminate the contract.  The following may cause the Plan to be in default: a breach of material obligation under the contract; a material misrepresentation; or a material amendment to the Plan agreement.  The issuer may be in default if it breaches a material obligation under the investment contract; makes a material misrepresentation; is acquired or reorganized.  If, in the event of default of an issuer, the Fund were unable to obtain a replacement investment contract, the Fund may experience losses if the market value of the Plan’s assets no longer covered by the contract is below contract value.  The Fund may seek to add additional issuers over time to diversify the Fund’s exposure to such risk, but there is no assurance the Fund will be able to do so.  The combination of the default of an issuer and an inability to obtain a replacement agreement could render the Fund unable to achieve its objective of maintaining contract value.  The terms of an investment

 

26



Table of Contents

 

contract generally provide for settlement of payments only upon termination of the contract or total liquidation of the covered investments.  Generally, payments will be made pro-rata, based on the percentage of investments covered by each issuer.  Contract termination occurs whenever the contract value or market value of the covered investments reaches zero or upon certain events of default.  If the contract terminates when the market value equals zero, the issuer will pay the excess of contract value over market value to the Plan to the extent necessary for the Plan to satisfy outstanding contract value withdrawal requests.  Contract termination also may occur by either party upon election and notice as agreed to under the terms of the contract.

 

The following table provides the fair value and contract value for the synthetic GICs and the fair value of the underlying assets net of all receivables and payables.

 

Investment Contracts at December 31,

 

2012

 

2011

 

 

 

(Dollars in thousands)

 

Fair value:

 

 

 

 

 

Synthetic GICs

 

$

16,826

 

$

24,671

 

Underlying assets net of payables/receivables

 

9,993,644

 

9,631,348

 

Fair value of synthetic GICs and underlying assets

 

$

10,010,470

 

$

9,656,019

 

Adjustment from fair value to contract value

 

(708,476

)

(570,356

)

Contract value of synthetic GICs

 

$

9,301,994

 

$

9,085,663

 

 

The investment contracts owned by the Interest Income Fund produced the following returns:

 

 

 

Year Ended
December 31,

 

 

 

2012

 

2011

 

Earned by the Plan

 

4.82

%

5.90

%

Credited to participants

 

3.50

%

3.86

%

 

NOTE 6 - DESCRIPTION OF INVESTMENT FUNDS

 

The objectives of the thirty-three primary investment funds in which participants could invest in 2012 are described below:

 

Life Cycle Funds —

 

The fourteen Life Cycle funds reflect a portfolio of diversified investments — U.S. stocks, international stocks, real estate equity stocks, and fixed-income investments — from the existing core funds noted below, plus a commodities fund (not available to participants as a standalone offering).  These funds offer a convenient low-cost way to achieve diversification, professional investment management and periodic rebalancing.  The funds are structured by the IBM Retirement Fund organization and managed by the underlying funds’ managers.

 

Four Life Cycle Funds are Life Strategy Funds that have a preset mix of stock and fixed income investments in order to provide broad diversification at four given levels of exposure to equities.  The preset mix of each Life Strategy Fund is not expected to change over time.

 

27



Table of Contents

 

·

 

Income Plus Life Strategy Fund - target allocation: 30% stocks*, 70% bonds; seeks returns that modestly outpace inflation on a fairly consistent basis.

 

 

 

·

 

Conservative Life Strategy Fund - target allocation: 50% stocks*, 50% bonds; seeks returns that moderately outpace inflation over the long term.

 

 

 

·

 

Moderate Life Strategy Fund - target allocation: 65% stocks*, 35% bonds; seeks relatively high returns at a moderate risk level.

 

 

 

·

 

Aggressive Life Strategy Fund - target allocation: 90% stocks*, 10% bonds; seeks high returns over the long term.

 


* Exposure to commodities is considered part of the allocation to stocks.

 

Ten Life Cycle Funds are Target Date Funds that offer portfolios with asset allocations designed for varying retirement dates or the year in which one expects to start drawing on their retirement assets. The portfolios are offered in five year increments from 2005 to 2050, with the 2030 through 2050 funds providing a significantly higher allocation to stocks. As a fund draws closer to its associated target date, the fund will automatically shift toward a more conservative risk level by reducing its allocation to stocks. Each fund’s reduction to stocks continues through its “target date” for another 15 years, until the fund’s allocation and risk profile matches that of the Income Plus Fund. Target Date funds assume a retirement age of 60.

 

·

 

Target Date 2005 Fund - designed for investors who have retired or started to draw on their retirement assets on or around the year 2005; seeks returns that moderately outpace inflation over the long term. Target asset allocation between stocks and bonds is 40% stocks*, 60% bonds.

 

 

 

·

 

Target Date 2010 Fund - seeks relatively high returns at a moderate risk level. Target asset allocation between stocks and bonds is 50% stocks*, 50% bonds.

 

 

 

·

 

Target Date 2015 Fund - seeks relatively high returns at a moderate risk level. Target asset allocation between stocks and bonds is 60% stocks*, 40% bonds.

 

 

 

·

 

Target Date 2020 Fund - seeks high returns over the long term. Target asset allocation between stocks and bonds is 70% stocks*, 30% bonds.

 

 

 

·

 

Target Date 2025 Fund - seeks high returns over the long term. Target asset allocation between stocks and bonds is 80% stocks*, 20% bonds.

 

 

 

·

 

Target Date 2030 Fund - seeks high returns over the long term. Target asset allocation between stocks and bonds is 88% stocks*, 12% bonds.

 

 

 

·

 

Target Date 2035 Fund - seeks high returns over the long term. Target asset allocation between stocks and bonds is 90% stocks*, 10% bonds.

 

 

 

·

 

Target Date 2040 Fund - seeks high returns over the long term. Target asset allocation between stocks and bonds is 90% stocks*, 10% bonds.

 

 

 

·

 

Target Date 2045 Fund - seeks high returns over the long term. Target asset allocation between stocks and bonds is 90% stocks*, 10% bonds.

 

 

 

·

 

Target Date 2050 Fund - seeks high returns over the long term. Target asset allocation between stocks and bonds is 90% stocks*, 10% bonds.

 


* Exposure to commodities is considered part of the allocation to stocks.

 

28



Table of Contents

 

Core Funds - seven funds that provide an opportunity to build a portfolio from a selection of broadly diversified U.S. and international stock funds and from funds that track the fixed-income markets.

 

·

 

Interest Income Fund (Prior to February 29, 2012, Stable Value Fund) - seeks to provide income similar to an intermediate bond fund with low volatility and to preserve principal.  The fund is managed by multiple investment managers.

 

 

 

·

 

Inflation Protected Bond Fund - seeks over the long term to provide a rate of return similar to the Barclays U.S. Treasury Inflation Protected Securities (TIPS) Index.  The fund is managed by State Street Global Advisors.

 

 

 

·

 

Total Bond Market Fund - seeks to provide a rate of return similar to its benchmark index (Barclays Aggregate Bond Index), which consists of more than 5,000 U.S. Treasury, federal agency, mortgage-backed, and corporate securities.   The fund is managed by Neuberger Berman.

 

 

 

·

 

Total Stock Market Index Fund - seeks long-term growth of capital and income with a market rate of return for a diversified group of U.S. equities.  It attempts to match the performance of the Dow Jones U.S. Total Stock Market Index. The fund is managed by The Vanguard Group.

 

 

 

·

 

Total International Stock Market Index Fund - seeks long-term capital growth with a market rate of return for a diversified group of non-U.S. equities in such major markets as Europe and Asia plus the emerging markets of the world.  It attempts to match the performance of the MSCI All Country World Ex-USA Investable Market Index.  The fund is managed by State Street Global Advisors.

 

 

 

·

 

Real Estate Investment Trust (REIT) Index Fund - seeks a total rate of return approximating the returns of the MSCI U.S. REIT index.  Investment consists of U.S. publicly traded real estate equity securities.  The fund is managed by BlackRock Institutional Trust Company.

 

 

 

·

 

International Real Estate Index Fund. - seeks to replicate the returns of the FTSE EPRA/NAREIT Developed ex US Rental Index. Investment consists of the international market for securities of companies principally engaged in the real estate industry that derive greater than or equal to 70% of their total revenue from rental revenue of investment properties. The fund is managed by BlackRock Institutional Trust Company.

 

Expanded Choice Funds —twelve funds that provide an opportunity to build an investment portfolio with funds that are less broadly diversified, focusing instead on discrete sectors of the stock and bond markets.

 

·

 

Long-Term Corporate Bond Fund - seeks to modestly outperform the return of the Barclays U.S. Long Credit Index. The fund invests in a diversified group of investment grade corporate and local U.S. and non-U.S. government fixed-rate debt issues with maturities of ten years or more.  The fund is managed by Neuberger Berman.

 

 

 

·

 

High Yield and Emerging Markets Bond Fund - seeks to modestly exceed the returns of a customized composite benchmark of 40% high yield, 40% emerging market bonds issued in local currencies and 20% emerging market bonds issued in U.S. dollars. The fund invests in “below investment grade” U.S. corporate and emerging market bonds and is managed by Pacific Investment Management Company, LLC (PIMCO).

 

29



Table of Contents

 

·

 

Large Company Index Fund - seeks long-term growth of capital and income from dividends by holding all the stocks that make up the Standard & Poor’s 500 Index.  The fund is managed by The Vanguard Group.

 

 

 

·

 

Large-Cap Value Index Fund - seeks long-term growth of capital and income from dividends.  The fund holds all the stocks in the Russell 1000 Value Index in approximately the same proportion as those stocks represented in the index.   The fund is managed by The Vanguard Group.

 

 

 

·

 

Large-Cap Growth Index Fund - seeks long-term growth of capital by holding all the stocks in the Russell 1000 Growth Index in approximately the same proportion as those stocks represented in the index.  The fund is managed by The Vanguard Group.

 

 

 

·

 

Small/Mid-Cap Stock Index Fund - seeks long-term growth of capital with a market rate of return from a diversified group of medium- and small-company stocks.  The fund holds stocks in the Russell 3000 index that are not part of the Standard and Poor’s 500 index and attempts to match the performance of the Russell SmallCap Completeness Index.   The fund is managed by State Street Global Advisors.

 

 

 

·

 

Small-Cap Value Index Fund - seeks long-term growth of capital by attempting to match the performance of the Russell 2000 Value Index.  The fund is managed by The Vanguard Group.

 

 

 

·

 

Small-Cap Growth Index Fund - seeks long-term growth of capital by attempting to match the performance of the Russell 2000 Growth Index.  The fund is managed by The Vanguard Group.

 

 

 

·

 

European Stock Index Fund - seeks long-term growth of capital that corresponds to an index of European stocks.   It attempts to match the investment results of the MSCI Europe Index.  The fund is managed by The Vanguard Group.

 

 

 

·

 

Pacific Stock Index Fund - seeks long-term growth of capital by attempting to match the performance of the MSCI Pacific Index.  The fund is managed by The Vanguard Group.

 

 

 

·

 

Emerging Markets Stock Index Fund - seeks long-term growth of capital by attempting to match the investment results of the MSCI Emerging Markets Index.  The fund is managed by The Vanguard Group.

 

 

 

·

 

IBM Stock Fund - invests in IBM common stock and holds a small interest-bearing cash balance of approximately 0.35% for liquidity purposes.  The fund is managed by State Street Bank and Trust Company.

 

IBM 401(k) participants also have access to the “mutual fund window” investments — which expands the Plan’s investment options to include about 165 mutual funds, most of which are actively managed.  This feature gives more options to participants who are interested in investing in brand-name funds, or in simply having a broader range of investment options from which to choose.

 

In the second quarter of 2013, the target asset allocation in the fourteen Life Cycle funds will change, and the Target Date Funds’ glide path will change so that each fund will reach its final target allocation of 25% stocks and 75% bonds ten years after the target date. The High Yield & Emerging Markets Bond Fund will be added to the Core Funds as will a new Balanced Exposure Fund (available only as an investment in the Life Cycle Funds).  Over time, allocations to the Total Bond Market Fund will replace any Interest Income Fund allocation in the Life Cycle Funds.  Additional information on the Plan’s Investment Funds and these changes is available at: netbenefits.com/IBM.

 

30



Table of Contents

 

Securities Lending

 

The Plan does not currently engage in securities lending for the separate accounts.  Securities lending may be permitted in certain commingled funds and in funds within the IBM Mutual Fund Window.  The prospectus for each fund will disclose if lending is permitted and the risks involved.

 

Repurchase Agreements

 

Certain investment managers of separately managed accounts may enter into repurchase agreements with the objective of managing cash in the portfolio.  The repurchase agreements are short-term and managers are limited in the percent of assets which may be invested in them.  Counterparties must meet credit rating requirements and permitted collateral is restricted to cash and/or government securities.  The Plan received $0.3 million of cash collateral and $102 million of securities at December 31, 2012 and $0 million of cash collateral and $118 million of securities at December 31, 2011.  Repurchase agreement cash collateral received is recorded in Investments, at fair value and Payable for collateral deposits in the Statements of Net Assets Available For Benefits. The prospectus of commingled funds or funds within the Mutual Fund Window will disclose if repurchase agreements are permitted.

 

NOTE 7 - TAX STATUS

 

The Trust established under the Plan is qualified under Section 401(a) of the Internal Revenue Code of 1986 and Section 1081.01 of the Internal Revenue Code for a New Puerto Rico (2011), and the Trustee intends for the Trust to remain dual-qualified in this manner.  The Plan received a favorable determination letter from the IRS on September 10, 2004, and received a favorable determination letter from the Hacienda (Puerto Rico) on April 29, 1993.  Subsequent to these determination letters by the IRS and the Hacienda, the Plan was amended.  The Plan administrator and Counsel continue to believe the Plan is designed and is being operated in compliance with the applicable requirements of the Internal Revenue Code and the Internal Revenue Code for a New Puerto Rico (2011).  The Plan submitted a request for a new determination letter to the IRS in January 2011 and will submit a request for a new determination letter to the Hacienda in September 2013.

 

Accounting principles generally accepted in the United States of America require plan management to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the Plan has taken an uncertain position that more likely than not would not be sustained upon examination by the Internal Revenue Service. The Plan administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2012, there are no uncertain positions taken or expected to be taken that would require recognition of a liability (or asset) or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress.

 

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 as of:

 

 

 

12/31
2012

 

12/31
2011

 

 

 

(Dollars in thousands)

 

Net assets available for benefits per the financial statements

 

$

40,895,194

 

$

36,797,372

 

Plus:

 

 

 

 

 

Adjustment from contract value to fair value for fully benefit-responsive investment contracts held by the Interest Income Fund

 

708,476

 

570,356

 

Net assets available for benefits per the Form 5500

 

$

41,603,670

 

$

37,367,728

 

 

31



Table of Contents

 

The following is a reconciliation of investment income per the financial statements to the Form 5500:

 

 

 

Year Ended
December 31,
2012

 

 

 

(Dollars in thousands)

 

Total investment income and interest income on notes receivable from participants per the financial statements

 

$

4,143,864

 

Less:

 

 

 

Adjustment from fair value to contract value for fully benefit-responsive investment contracts at December 31, 2011

 

570,356

 

Plus:

 

 

 

Adjustment from fair value to contract value for fully benefit-responsive investment contracts at December 31, 2012

 

708,476

 

Total investment income per the Form 5500

 

$

4,281,984

 

 

NOTE 9 - RELATED-PARTY TRANSACTIONS

 

At December 31, 2012, a significant portion of the Plan’s assets were managed by State Street Global Advisors.  State Street Global Advisors’ affiliate, State Street Bank and Trust Company, also acts as the trustee for the Plan and, therefore, these investments in addition to participant loans qualify as party-in-interest transactions.  The Plan also pays a fee to the trustee.  These transactions qualify as party-in-interest transactions as well.

 

In addition, Fidelity Investments Institutional Operations Company, Inc. is the provider of administrative services related to the mutual fund window as well as the investment manager of Fidelity funds within the mutual fund window.  Fidelity is also the provider of record keeping and participant services, and the operator of the IBM Employee Services Center for the IBM 401(k) Plus Plan.

 

At December 31, 2012 and 2011, the Plan held 13,075,056 and 13,391,892 shares of IBM common stock valued at $2,504,526,977 and $2,462,501,101, respectively.  During the year ended December 31, 2012, purchases of shares by the Plan totaled $179,712,026 and sales of shares by the Plan totaled $246,338,653.

 

NOTE 10 — SUBSEQUENT EVENT

 

Effective April 15, 2013, employees hired or rehired into the GBS Application Development Specialist job family on or after April 15, 2013, will be eligible for a matching contribution equal to 2% and automatic contributions equal to 1%, if they meet the following requirements: (1) complete two years of service; and (2) are employed on December 15 of the applicable Plan year. Like all other company contributions made to the Plan, these contributions will be made once annually at the end of the year.

 

32



Table of Contents

 

IBM 401(k) PLUS PLAN AT DECEMBER 31, 2012

Schedule G, Part I - Schedule of Loans or Fixed Income Obligations in Default or Classified as Uncollectible

 

 

 

 

 

(c) Detailed description of loan including dates of
making and maturity, interest rate, the type and value of
collateral, any renegotiation of the loan and the terms of
the renegotiation, and other material items

 

(d) Original

 

Amount received during
reporting year

 

(g) Unpaid balance

 

Amount Overdue

 

(a)*

 

(b) Identity and address of Obligor

 

Security ID

 

Issue Date

 

Maturity Date

 

Interest Rate

 

amount of loan

 

(e) Principal

 

(f) Interest

 

at end of year

 

(h) Principal

 

(i) Interest

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

American Airlines INC, 4333 Amon Carter Blvd., Fort Worth, TX 76155

 

023771R83

 

3/9/2011

 

3/15/2016

 

7.5

 

$

500,000

 

 

 

 

 

$

37,500

 

 

 

$

37,500

 

 

 

Glitnir Bank HF, Islandsbanki, Kirkjusandi 2-155 Reykjavik, Iceland

 

37930JAE5

 

9/25/2007

 

9/15/2012

 

6.375

 

1,260,000

 

 

 

 

 

1,581,300

 

$

1,260,000

 

321,300

 

 

 

Glitnir Bank HF, Islandsbanki, Kirkjusandi 2-155 Reykjavik, Iceland

 

379308AA7

 

6/15/2006

 

6/15/2016

 

6.693

 

2,100,000

 

 

 

 

 

632,489

 

 

 

632,489

 

 

 

Glitnir Bank HF, Islandsbanki, Kirkjusandi 2-155 Reykjavik, Iceland

 

379308AB5

 

9/14/2006

 

9/14/2049

 

7.451

 

200,000

 

 

 

 

 

59,608

 

 

 

59,608

 

 

 

Kaupthing Bank hf., Borgartun 26 IS-105 Reykjavik, Iceland

 

48632HAA5

 

5/19/2006

 

5/19/2016

 

7.125

 

700,000

 

 

 

 

 

199,500

 

 

 

199,500

 

 

 

Lehman Brothers Holdings Inc., 745 Seventh Avenue, New York, NY 10019

 

5249087M6

 

12/21/2007

 

12/28/2017

 

6.75

 

9,850,000

 

 

 

 

 

2,659,500

 

 

 

2,659,500

 

 

 

Lehman Brothers Holdings Inc., 745 Seventh Avenue, New York, NY 10019

 

524908XA3

 

5/17/2007

 

11/29/2049

 

5.857

 

1,730,000

 

 

 

 

 

1,752,771

 

 

 

1,752,771

 

 

 

Lehman Brothers Holdings Inc., 745 Seventh Avenue, New York, NY 10019

 

5252M0BZ9

 

1/22/2008

 

1/24/2013

 

5.625

 

11,500,000

 

 

 

 

 

2,587,500

 

 

 

2,587,500

 

 

 

Lehman Brothers Holdings Inc., 745 Seventh Avenue, New York, NY 10019

 

5252M0FD4

 

4/24/2008

 

5/2/2018

 

6.875

 

900,000

 

 

 

 

 

279,984

 

 

 

279,984

 

 

 

Lehman Brothers Holdings Inc., 745 Seventh Avenue, New York, NY 10019

 

52517PE23

 

1/25/2006

 

12/31/2049

 

variable

 

5,300,000

 

 

 

 

 

253,229

 

 

 

253,229

 

 

 

Lehman Brothers Holdings Inc., 745 Seventh Avenue, New York, NY 10019

 

52517PXU0

 

10/25/2004

 

11/10/2010

 

variable

 

400,000

 

 

 

 

 

407,556

 

400,000

 

7,556

 

 

 

Lehman Brothers Holdings Inc., 745 Seventh Avenue, New York, NY 10019

 

52517P2K6

 

5/25/2007

 

5/25/2010

 

variable

 

800,000

 

 

 

 

 

811,333

 

800,000

 

11,333

 

 

 

Sigma Finance Corp., M&C Corp. Services LTD, Box 309GT, Ugland House, South Church St., George Town, Grand Cayman, Grand Cayman Islands

 

8265Q0XQ0

 

6/4/2007

 

6/4/2009

 

variable

 

10,000,000

 

 

 

 

 

9,554,482

 

9,494,970

 

59,512

 

 

 

Station Casinos, 1505 South Pavilion Center Drive, Las Vegas NV

 

857689AT0

 

2/27/2004

 

3/1/2016

 

6.875

 

30,000

 

 

 

 

 

8,250

 

 

 

8,250

 

 


* Party-in-interest

 

Schedule G, Part I - Overdue Loan Explanation

 

Investment managers have responsibility for these securities as well as other securities in their portfolio and they have or will take appropriate actions taking into consideration the circumstances surrounding each security and the overall portfolio that they manage.

 

33



Table of Contents

 

IBM 401(k) PLUS PLAN
Schedule H, line 4i - Schedule of Assets (Held at End of Year)

 

AT DECEMBER 31, 2012

 

(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) Fair value

 

 

 

 

 

 

 

 

 

 

 

 

 

IBM Stock Fund

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

*

 

International Business Machines Corporation

 

IBM Common Stock 13, 075,056 shares

 

 

 

$

2,504,526,977

 

 

 

Managed by State Street Global Advisors

 

State Street Bank and Trust Company Government Short-Term Investment Fund

 

 

 

1,968,552

 

 

 

 

 

 

 

 

 

 

 

 

 

Mutual Funds

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Administered by Fidelity Investments

 

Mutual Fund Window (refer to Exhibit K — investments)

 

 

 

4,548,354,552

 

 

 

Vanguard Emerging Markets Stock Index Fund

 

Vanguard Emerging Markets Stock Index Fund Institutional Plus Shares 166,533 shares

 

 

 

15,497,569

 

 

 

 

 

 

 

 

 

 

 

 

 

Commingled Funds

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Vanguard Employee Benefit Index Fund

 

Large Company Index

 

 

 

4,195,820,824

 

 

 

Vanguard Total Stock Market Index Trust

 

Total Stock Market Index

 

 

 

4,011,362,628

 

 

 

Vanguard Russell 1000 Value Index Trust

 

Large Cap Value Index

 

 

 

654,984,333

 

 

 

Vanguard Russell 2000 Value Index Trust

 

Small Cap Value Index

 

 

 

592,993,065

 

 

 

Vanguard Russell 1000 Growth Index Trust

 

Large Cap Growth Index

 

 

 

615,997,986

 

 

 

Vanguard Russell 2000 Growth Index Trust

 

Small Cap Growth Index

 

 

 

462,054,985

 

 

 

Vanguard European Stock Index Trust

 

European Stock Index

 

 

 

378,331,119

 

 

 

Vanguard Pacific Stock Index Trust

 

Pacific Stock Index

 

 

 

317,229,114

 

 

 

PIMCO Commodities Plus Trust II

 

Commodity

 

 

 

315,064,422

 

 


*   Party-In-Interest

 

34



Table of Contents

 

(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) Fair value

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately-Managed Funds

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Managed by State Street Global Advisors

 

Total International Stock Market Index (refer to Exhibit A - investments)

 

 

 

$

3,149,488,845

 

 

 

Managed by State Street Global Advisors

 

Small/Mid Cap Stock Index (refer to Exhibit B - investments)

 

 

 

2,960,815,771

 

 

 

Managed by State Street Global Advisors

 

Inflation Protected Bond (refer to Exhibit C - investments)

 

 

 

2,320,189,674

 

 

 

Managed by Neuberger Berman

 

Total Bond Market (refer to Exhibit D - investments)

 

 

 

1,385,858,718

 

 

 

Managed by BlackRock Institutional Trust Company

 

Real Estate Investment Trust (refer to Exhibit E - investments)

 

 

 

1,053,510,365

 

 

 

Managed by Neuberger Berman

 

Long-Term Corporate Bond (refer to Exhibit F - investments)

 

 

 

481,656,136

 

 

 

Managed by Pacific Investment Management Company (PIMCO)

 

High Yield and Emerging Markets Bond (refer to Exhibit G - investments)

 

 

 

245,775,409

 

 

 

Managed by BlackRock Institutional Trust Company

 

International Real Estate Index (refer to Exhibit H -investments)

 

 

 

238,439,248

 

 

 

Collateral

 

(refer to Exhibit I - investments)

 

 

 

14,335,083

 

 

 

Underlying assets managed by various investment companies

 

Interest Income Fund (refer to Exhibit J - investments)

 

 

 

11,505,689,316

 

 

 

Bank of America, N.A.

 

Synthetic GIC Wrapper Contract, Rate of Interest 3. 45%

 

 

 

5,281,132

 

 

 

JPMorgan Chase Bank, N.A.

 

Synthetic GIC Wrapper Contract, Rate of Interest 3. 45%

 

 

 

10,092,015

 

 

 

Royal Bank of Canada

 

Synthetic GIC Wrapper Contract, Rate of Interest 3. 45%

 

 

 

 

*

 

State Street Bank and Trust Company

 

Synthetic GIC Wrapper Contract, Rate of Interest 3. 45%

 

 

 

1,452,583

 

*

 

The Prudential Insurance Company of America

 

Synthetic GIC Wrapper Contract, Rate of Interest 3. 27%

 

 

 

 

*

 

New York Life Insurance Company

 

Synthetic GIC Wrapper Contract, Rate of Interest 3.32%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

*

 

Notes receivable from participants

 

Interest rates range: 3.25% - 11.00% Terms: one to thirty years

 

 

 

323,820,152

 

 


*   Party-In-Interest

 

35



Table of Contents

 

IBM 401(k) PLUS PLAN
Schedule H, line 4i - Schedule of Assets (Acquired and Disposed of Within Year)

 

FOR THE YEAR ENDED DECEMBER 31, 2012

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

BANC OF AMERICA SECURITIES LLC

 

INTEREST-BEARING CASH

 

270,000

 

 

 

$

270,000

 

 

 

UBS CASH COLL CCP COC

 

INTEREST-BEARING CASH

 

25,000

 

 

 

25,000

 

 

 

ROYAL BANK OF CANADA

 

INTEREST-BEARING CASH

 

1,570,000

 

 

 

1,570,000

 

 

 

DEUTSCHE BANK

 

INTEREST-BEARING CASH

 

1,860,000

 

 

 

2,160,000

 

 

 

UBS CCP CASH COLL BOC

 

INTEREST-BEARING CASH

 

9,000

 

 

 

9,000

 

 

 

CITIBANK CASH COLL CCP

 

INTEREST-BEARING CASH

 

128,000

 

 

 

128,000

 

 

 

BOA FUTURES COC

 

INTEREST-BEARING CASH

 

64,000

 

 

 

64,000

 

 

 

CREDIT SUISSE

 

INTEREST-BEARING CASH

 

740,000

 

 

 

740,000

 

 

 

DEUTSCHE BANK CCD

 

INTEREST-BEARING CASH

 

44,000

 

 

 

44,000

 

 

 

WESTPAC SWAP COC USD

 

INTEREST-BEARING CASH

 

4,450,000

 

 

 

4,450,000

 

 

 

MORGAN STANLEY SWAP BOC

 

INTEREST-BEARING CASH

 

165,000

 

 

 

165,000

 

 

 

SWAP BANK OF AMERICA BOC

 

INTEREST-BEARING CASH

 

260,000

 

 

 

260,000

 

 

 

SWAP CSFB BOC

 

INTEREST-BEARING CASH

 

3,760,000

 

 

 

3,800,000

 

 

 

SWAP JPM CHASE BOC

 

INTEREST-BEARING CASH

 

6,050,000

 

 

 

6,670,000

 

 

 

SWAP MORGAN STANLEY BOC

 

INTEREST-BEARING CASH

 

1,750,000

 

 

 

2,055,000

 

 

 

SWAP MORGAN STANLEY COC

 

INTEREST-BEARING CASH

 

280,000

 

 

 

280,000

 

 

 

GOLDMAN SACHS BANK USA BOC

 

INTEREST-BEARING CASH

 

1,160,000

 

 

 

1,160,000

 

 

 

GOLDMAN SACHS BANK USA COC

 

INTEREST-BEARING CASH

 

1,840,000

 

 

 

1,840,000

 

 

 

SWAP UBS BOC

 

INTEREST-BEARING CASH

 

2,970,000

 

 

 

2,970,000

 

 

 

BANK OF NOVA SCOTIA NY

 

INTEREST-BEARING CASH

 

320,000

 

 

 

320,000

 

 

 

SWAP CITIBANK COC

 

INTEREST-BEARING CASH

 

260,000

 

 

 

260,000

 

 

 

SWAP HSBC COC

 

INTEREST-BEARING CASH

 

270,000

 

 

 

270,000

 

 

 

SWAP JPM CHASE COC

 

INTEREST-BEARING CASH

 

1,790,000

 

 

 

1,790,000

 

 

 

SWAP RBOS COC

 

INTEREST-BEARING CASH

 

270,000

 

 

 

270,000

 

 

 

SWAP UBS COC

 

INTEREST-BEARING CASH

 

1,380,000

 

 

 

1,380,000

 

 

 

GOLDMAN SACHS BANK USA BOC

 

INTEREST-BEARING CASH

 

590,000

 

 

 

590,000

 

 

 

SWAP DEUTSCHE COC

 

INTEREST-BEARING CASH

 

550,000

 

 

 

550,000

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total

 

 

 

 

 

$

34,090,000

 

 

 

 

 

 

 

 

 

 

 

 

 


 

 

n / a - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

36



Table of Contents

 

EXHIBIT A - Total International Stock Market Index Fund

(Managed by State Street Global Advisors)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/
Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

ARGENTINE PESO

 

FOREIGN CURRENCY

 

ARGENTINA

 

1,149

 

 

 

$

234

 

 

 

CREW ENERGY INC

 

COMMON STOCK

 

ARGENTINA

 

4

 

 

 

5

 

 

 

GRUPO FINANCIERO GALICIA B

 

COMMON STOCK ARS1.

 

ARGENTINA

 

8

 

 

 

7

 

 

 

PETROBRAS ARGENTINA SA B

 

COMMON STOCK ARS1.

 

ARGENTINA

 

6

 

 

 

4

 

 

 

TELECOM ARGENTINA S.A. B

 

COMMON STOCK ARS1.

 

ARGENTINA

 

6

 

 

 

19

 

 

 

TRANSPORTADORA DE GAS SUR B

 

COMMON STOCK ARS1.

 

ARGENTINA

 

3

 

 

 

1

 

 

 

ABACUS PROPERTY GROUP

 

REIT NPV

 

AUSTRALIA

 

142,646

 

 

 

320,817

 

 

 

ADELAIDE BRIGHTON LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

71,700

 

 

 

235,175

 

 

 

AET AND D HLDGS NO 1 PTY LTD

 

COMMON STOCK

 

AUSTRALIA

 

36,515

 

 

 

0

 

 

 

AGL ENERGY LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

113,066

 

 

 

1,815,258

 

 

 

ALSTOM

 

COMMON STOCK EUR7.

 

AUSTRALIA

 

60,473

 

 

 

687,235

 

 

 

ALUMINUM CORP OF CHINA LTD H

 

COMMON STOCK CNY1.

 

AUSTRALIA

 

425,103

 

 

 

410,967

 

 

 

AMEC PLC

 

COMMON STOCK GBP.5

 

AUSTRALIA

 

215,110

 

 

 

1,818,504

 

 

 

AMS AG

 

COMMON STOCK NPV

 

AUSTRALIA

 

588,785

 

 

 

2,992,022

 

 

 

ANSELL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

20,233

 

 

 

324,180

 

 

 

APA GROUP

 

MISC. NPV

 

AUSTRALIA

 

164,756

 

 

 

950,791

 

 

 

AQUARIUS PLATINUM LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

78,912

 

 

 

70,266

 

 

 

AQUILA RESOURCES LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

21,848

 

 

 

59,643

 

 

 

ARISTOCRAT LEISURE LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

63,089

 

 

 

209,763

 

 

 

ARRIUM LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

279,043

 

 

 

270,308

 

 

 

ASCIANO LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

162,311

 

 

 

793,034

 

 

 

ASPEN GROUP

 

REIT NPV

 

AUSTRALIA

 

191,904

 

 

 

45,338

 

 

 

ASTRO JAPAN PROPERTY GROUP

 

REIT

 

AUSTRALIA

 

40,989

 

 

 

123,980

 

 

 

ASX LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

33,443

 

 

 

1,090,804

 

 

 

ASX SPI 200 INDEX FUTURES

 

MAR13 XSFE

 

AUSTRALIA

 

425

 

 

 

15,898

 

 

 

ATLAS IRON LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

151,289

 

 

 

288,356

 

 

 

AURIZON HOLDINGS LTD

 

COMMON STOCK

 

AUSTRALIA

 

281,719

 

 

 

1,106,155

 

 

 

AUSENCO LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

25,391

 

 

 

84,658

 

 

 

AUST AND NZ BANKING GROUP

 

COMMON STOCK NPV

 

AUSTRALIA

 

433,575

 

 

 

11,348,648

 

 

 

AUSTRALAND PROPERTY GROUP

 

REIT NPV

 

AUSTRALIA

 

111,195

 

 

 

394,792

 

 

 

AUSTRALIAN AGRICULTURAL CO

 

COMMON STOCK NPV

 

AUSTRALIA

 

73,095

 

 

 

88,307

 

 

 

AUSTRALIAN DOLLAR

 

FOREIGN CURRENCY

 

AUSTRALIA

 

2,424,908

 

 

 

2,517,539

 

 

 

AZ. BGP HOLDINGS

 

COMMON STOCK

 

AUSTRALIA

 

818,748

 

 

 

15

 

 

 

BANK OF QUEENSLAND LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

44,477

 

 

 

341,364

 

 

 

BEACH ENERGY LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

228,601

 

 

 

357,511

 

 

 

BENDIGO AND ADELAIDE BANK

 

COMMON STOCK NPV

 

AUSTRALIA

 

73,883

 

 

 

658,619

 

 

 

BHP BILLITON LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

544,096

 

 

 

21,243,517

 

 

 

BILLABONG INTERNATIONAL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

77,268

 

 

 

67,269

 

 

 

BLUESCOPE STEEL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

91,884

 

 

 

336,972

 

 

 

BOART LONGYEAR LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

88,884

 

 

 

178,258

 

 

 

BORAL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

143,559

 

 

 

660,174

 

 

 

BRADKEN LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

29,815

 

 

 

172,463

 

 

 

BRAMBLES LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

275,766

 

 

 

2,194,054

 

 

 

BT INVESTMENT MANAGEMENT LTD

 

COMMON STOCK

 

AUSTRALIA

 

33,268

 

 

 

81,753

 

 

 

BWP TRUST

 

REIT NPV

 

AUSTRALIA

 

218,988

 

 

 

494,161

 

 

 

CALTEX AUSTRALIA LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

25,391

 

 

 

511,606

 

 

 

CFS RETAIL PROPERTY TRUST GR

 

REIT NPV

 

AUSTRALIA

 

410,334

 

 

 

821,987

 

 

 

CGI GROUP INC CLASS A

 

COMMON STOCK NPV

 

AUSTRALIA

 

96,464

 

 

 

248,378

 

 

 

CHALLENGER DIVERSIFIED PROPE

 

REIT

 

AUSTRALIA

 

79,145

 

 

 

295,307

 

 

 

CHANG WAH ELECTROMATERIALS

 

COMMON STOCK TWD10.

 

AUSTRALIA

 

143,089

 

 

 

490,105

 

 

 

CHARTER HALL GROUP

 

REIT NPV

 

AUSTRALIA

 

110,417

 

 

 

432,884

 

 

 

COCA COLA CENTRAL JAPAN CO

 

COMMON STOCK

 

AUSTRALIA

 

130,988

 

 

 

1,841,167

 

 

 

COCOKARA FINE INC

 

COMMON STOCK

 

AUSTRALIA

 

10,322

 

 

 

853,725

 

 

 

COMMONWEALTH PROPERTY OFFICE

 

REIT NPV

 

AUSTRALIA

 

260,369

 

 

 

16,908,815

 

 

 

COMPAGNIE DE SAINT GOBAIN

 

COMMON STOCK EUR4.

 

AUSTRALIA

 

377,704

 

 

 

403,716

 

 

 

COMSYS HOLDINGS CORP

 

COMMON STOCK

 

AUSTRALIA

 

88,124

 

 

 

829,616

 

 

 

CSL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

83,131

 

 

 

925,844

 

 

 

CSM

 

COMMON STOCK EUR.25

 

AUSTRALIA

 

96,369

 

 

 

5,442,774

 

 

 

CSR LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

82,518

 

 

 

169,312

 

 

 

DAVID JONES LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

95,339

 

 

 

233,624

 

 

 

DEXUS PROPERTY GROUP

 

REIT NPV

 

AUSTRALIA

 

849,348

 

 

 

900,353

 

 

 

DOWNER EDI LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

71,777

 

 

 

308,877

 

 

 

DUET GROUP

 

MISC. NPV

 

AUSTRALIA

 

177,181

 

 

 

384,928

 

 

 

DULUXGROUP LTD

 

COMMON STOCK

 

AUSTRALIA

 

238,952

 

 

 

941,415

 

 

 

ECHO ENTERTAINMENT GROUP LTD

 

COMMON STOCK

 

AUSTRALIA

 

163,939

 

 

 

590,988

 

 

 

EMECO HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

140,193

 

 

 

89,030

 

 

 

ENERGY RESOURCES OF AUST

 

COMMON STOCK NPV

 

AUSTRALIA

 

17,121

 

 

 

22,793

 

 

37



Table of Contents

 

 

 

ENERGY WORLD CORP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

245,509

 

 

 

95,800

 

 

 

FAIRFAX MEDIA LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

417,707

 

 

 

222,626

 

 

 

FKP PROPERTY GROUP

 

COMMON STOCK NPV

 

AUSTRALIA

 

41,523

 

 

 

49,291

 

 

 

FLEETWOOD CORPORATION LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

9,037

 

 

 

92,699

 

 

 

FORTESCUE METALS GROUP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

270,594

 

 

 

1,342,184

 

 

 

G.U.D. HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

43,205

 

 

 

388,496

 

 

 

GOODMAN FIELDER LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

407,871

 

 

 

264,755

 

 

 

GOODMAN GROUP

 

REIT NPV

 

AUSTRALIA

 

338,019

 

 

 

1,537,408

 

 

 

GPT GROUP

 

REIT NPV

 

AUSTRALIA

 

322,545

 

 

 

1,246,063

 

 

 

GRAINCORP LTD A

 

COMMON STOCK NPV

 

AUSTRALIA

 

62,981

 

 

 

811,518

 

 

 

HARVEY NORMAN HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

102,041

 

 

 

202,674

 

 

 

ILUKA RESOURCES LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

80,245

 

 

 

777,447

 

 

 

INCITEC PIVOT LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

278,482

 

 

 

946,118

 

 

 

INSURANCE AUSTRALIA GROUP

 

COMMON STOCK NPV

 

AUSTRALIA

 

363,471

 

 

 

1,787,093

 

 

 

INVESTA OFFICE FUND

 

REIT NPV

 

AUSTRALIA

 

148,459

 

 

 

462,679

 

 

 

IOOF HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

55,302

 

 

 

419,592

 

 

 

JAMES HARDIE INDUSTRIES CDI

 

RECEIPT EUR.59

 

AUSTRALIA

 

80,013

 

 

 

773,876

 

 

 

JB HI FI LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

15,008

 

 

 

162,241

 

 

 

KAROON GAS AUSTRALIA LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

75,976

 

 

 

427,114

 

 

 

LEIGHTON HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

29,964

 

 

 

563,611

 

 

 

LEND LEASE GROUP

 

MISC. NPV

 

AUSTRALIA

 

99,819

 

 

 

972,248

 

 

 

LINC ENERGY LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

52,554

 

 

 

65,037

 

 

 

LYNAS CORP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

297,059

 

 

 

181,739

 

 

 

MACMAHON HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

318,530

 

 

 

75,345

 

 

 

MACMAHON HOLDINGS RTS

 

EXP 31DEC12

 

AUSTRALIA

 

127,412

 

 

 

8,598

 

 

 

MACQUARIE ATLAS ROADS GROUP

 

MISC.

 

AUSTRALIA

 

124,532

 

 

 

216,764

 

 

 

MACQUARIE GROUP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

61,032

 

 

 

2,269,262

 

 

 

METCASH LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

139,584

 

 

 

485,979

 

 

 

MINERAL RESOURCES LTD

 

COMMON STOCK

 

AUSTRALIA

 

31,003

 

 

 

319,723

 

 

 

MIRVAC GROUP

 

REIT NPV

 

AUSTRALIA

 

625,763

 

 

 

974,912

 

 

 

MONADELPHOUS GROUP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

31,436

 

 

 

806,100

 

 

 

MOUNT GIBSON IRON LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

133,430

 

 

 

118,790

 

 

 

NATIONAL AUSTRALIA BANK LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

384,670

 

 

 

10,057,768

 

 

 

NEWCREST MINING LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

135,874

 

 

 

3,171,480

 

 

 

NEXUS ENERGY LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

169,692

 

 

 

27,658

 

 

 

NORTHERN IRON LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

67,914

 

 

 

38,706

 

 

 

NRW HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

74,425

 

 

 

149,337

 

 

 

NUFARM LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

32,855

 

 

 

199,410

 

 

 

ORICA LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

81,430

 

 

 

2,140,811

 

 

 

ORIGIN ENERGY LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

202,094

 

 

 

2,472,567

 

 

 

OZ MINERALS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

58,375

 

 

 

415,554

 

 

 

PACIFIC BRANDS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

101,920

 

 

 

66,480

 

 

 

PALADIN ENERGY LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

104,376

 

 

 

114,766

 

 

 

PANAUST LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

100,795

 

 

 

356,802

 

 

 

PERPETUAL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

8,799

 

 

 

320,348

 

 

 

PHARMAXIS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

82,220

 

 

 

106,004

 

 

 

PRIMARY HEALTH CARE LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

92,956

 

 

 

388,339

 

 

 

QANTAS AIRWAYS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

191,193

 

 

 

300,542

 

 

 

QBE INSURANCE GROUP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

192,751

 

 

 

2,205,620

 

 

 

RAMSAY HEALTH CARE LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

23,099

 

 

 

656,093

 

 

 

RIO TINTO LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

80,379

 

 

 

5,593,345

 

 

 

ROC OIL CO LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

116,958

 

 

 

53,045

 

 

 

SAI GLOBAL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

59,908

 

 

 

266,820

 

 

 

SANTOS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

159,858

 

 

 

1,871,731

 

 

 

SEEK LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

53,000

 

 

 

390,513

 

 

 

SHOPPING CENTRES AUSTRALASIA

 

REIT

 

AUSTRALIA

 

41,066

 

 

 

63,952

 

 

 

SIGMA PHARMACEUTICALS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

223,295

 

 

 

171,669

 

 

 

SILEX SYSTEMS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

22,510

 

 

 

67,894

 

 

 

SIMS METAL MANAGEMENT LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

31,456

 

 

 

306,610

 

 

 

SONIC HEALTHCARE LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

62,784

 

 

 

876,503

 

 

 

STOCKLAND

 

REIT NPV

 

AUSTRALIA

 

408,155

 

 

 

1,504,419

 

 

 

STW COMMUNICATIONS GROUP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

89,981

 

 

 

104,460

 

 

 

SUNCORP GROUP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

252,072

 

 

 

2,679,371

 

 

 

SUNDANCE RESOURCES LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

534,228

 

 

 

205,215

 

 

 

SYDNEY AIRPORT

 

MISC. NPV

 

AUSTRALIA

 

176,819

 

 

 

623,878

 

 

 

TABCORP HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

159,283

 

 

 

508,922

 

 

 

TATTS GROUP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

290,207

 

 

 

913,524

 

 

 

TELSTRA CORP LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

713,315

 

 

 

3,248,727

 

 

 

TEN NETWORK HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

328,928

 

 

 

100,296

 

 

 

TEN NETWORK HOLDINGS LTD

 

EXP 18JAN13

 

AUSTRALIA

 

146,188

 

 

 

13,660

 

 

 

TOLL HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

135,103

 

 

 

646,614

 

 

 

TRANSFIELD SERVICES LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

66,571

 

 

 

136,298

 

 

 

TRANSPACIFIC INDUSTRIES GROU

 

COMMON STOCK NPV

 

AUSTRALIA

 

305,001

 

 

 

249,234

 

 

 

TRANSURBAN GROUP

 

MISC. NPV

 

AUSTRALIA

 

259,335

 

 

 

1,646,672

 

 

 

TREASURY WINE ESTATES LTD

 

COMMON STOCK

 

AUSTRALIA

 

128,972

 

 

 

634,994

 

 

 

UGL LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

23,400

 

 

 

266,063

 

 

 

WESFARMERS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

169,784

 

 

 

6,550,100

 

 

 

WESFARMERS LTD PPS

 

COMMON STOCK NPV

 

AUSTRALIA

 

1,738

 

 

 

68,915

 

 

 

WESTFIELD GROUP

 

REIT NPV

 

AUSTRALIA

 

377,082

 

 

 

4,159,863

 

 

 

WESTFIELD RETAIL TRUST

 

REIT

 

AUSTRALIA

 

510,007

 

 

 

1,604,754

 

 

38



Table of Contents

 

 

 

WESTPAC BANKING CORP

 

COMMON STOCK NPV

 

AUSTRALIA

 

523,720

 

 

 

14,314,224

 

 

 

WOODSIDE PETROLEUM LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

107,299

 

 

 

3,823,153

 

 

 

WOOLWORTHS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

205,333

 

 

 

6,274,304

 

 

 

WORLEYPARSONS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

30,439

 

 

 

750,725

 

 

 

WOTIF.COM HOLDINGS LTD

 

COMMON STOCK NPV

 

AUSTRALIA

 

17,667

 

 

 

97,922

 

 

 

ANDRITZ AG

 

COMMON STOCK NPV

 

AUSTRIA

 

15,270

 

 

 

979,918

 

 

 

ATRIUM EUROPEAN REAL ESTATE

 

COMMON STOCK NPV

 

AUSTRIA

 

53,498

 

 

 

313,924

 

 

 

BWT AG

 

COMMON STOCK NPV

 

AUSTRIA

 

9,456

 

 

 

199,717

 

 

 

CA IMMOBILIEN ANLAGEN AG

 

COMMON STOCK

 

AUSTRIA

 

8,100

 

 

 

112,278

 

 

 

CORIO NV

 

REIT EUR10.

 

AUSTRIA

 

9,814

 

 

 

126,789

 

 

 

ERSTE GROUP BANK AG

 

COMMON STOCK NPV

 

AUSTRIA

 

34,864

 

 

 

1,113,485

 

 

 

IMMOEAST ANSPR NACHB

 

COMMON STOCK

 

AUSTRIA

 

143,040

 

 

 

0

 

 

 

IMMOFINANZ AG

 

COMMON STOCK

 

AUSTRIA

 

225,181

 

 

 

948,211

 

 

 

IMMOFINANZ ANSPR NACHB

 

COMMON STOCK

 

AUSTRIA

 

89,821

 

 

 

0

 

 

 

KAPSCH TRAFFICCOM AG

 

COMMON STOCK

 

AUSTRIA

 

3,195

 

 

 

199,733

 

 

 

OMV AG

 

COMMON STOCK NPV

 

AUSTRIA

 

32,282

 

 

 

1,170,848

 

 

 

PALFINGER AG

 

COMMON STOCK NPV

 

AUSTRIA

 

4,990

 

 

 

108,017

 

 

 

RAIFFEISEN BANK INTERNATIONA

 

COMMON STOCK NPV

 

AUSTRIA

 

6,985

 

 

 

291,637

 

 

 

RHI AG

 

COMMON STOCK

 

AUSTRIA

 

2,714

 

 

 

89,391

 

 

 

S 1 CORPORATION

 

COMMON STOCK KRW500.

 

AUSTRIA

 

54,496

 

 

 

345,305

 

 

 

SCHOELLER BLECKMANN OILFIELD

 

COMMON STOCK EUR1.

 

AUSTRIA

 

4,014

 

 

 

421,112

 

 

 

SEMPERIT AG HOLDING

 

COMMON STOCK NPV

 

AUSTRIA

 

3,423

 

 

 

140,916

 

 

 

TELEKOM AUSTRIA AG

 

COMMON STOCK NPV

 

AUSTRIA

 

65,903

 

 

 

498,121

 

 

 

VERBUND AG

 

COMMON STOCK NPV

 

AUSTRIA

 

15,077

 

 

 

372,955

 

 

 

VIENNA INSURANCE GROUP AG

 

COMMON STOCK NPV

 

AUSTRIA

 

6,166

 

 

 

330,381

 

 

 

VOESTALPINE AG

 

COMMON STOCK NPV

 

AUSTRIA

 

22,522

 

 

 

827,197

 

 

 

WIENERBERGER AG

 

COMMON STOCK NPV

 

AUSTRIA

 

21,849

 

 

 

201,046

 

 

 

ACKERMANS + VAN HAAREN

 

COMMON STOCK

 

BELGIUM

 

5,040

 

 

 

414,771

 

 

 

AGEAS

 

COMMON STOCK NPV

 

BELGIUM

 

42,633

 

 

 

1,270,492

 

 

 

AGFA GEVAERT NV

 

COMMON STOCK NPV

 

BELGIUM

 

6,022

 

 

 

8

 

 

 

AGFA GEVAERT NV STRIP VVPR

 

MISC.

 

BELGIUM

 

24,090

 

 

 

41,672

 

 

 

ANHEUSER BUSCH INBEV NV

 

COMMON STOCK NPV

 

BELGIUM

 

129,461

 

 

 

11,300,128

 

 

 

ANHEUSER BUSCH INBEV ST VVPR

 

MISC. NPV

 

BELGIUM

 

58,432

 

 

 

77

 

 

 

ARSEUS NV

 

COMMON STOCK

 

BELGIUM

 

1,000

 

 

 

20,069

 

 

 

BEKAERT NV

 

COMMON STOCK NPV

 

BELGIUM

 

7,255

 

 

 

213,556

 

 

 

BELGACOM SA

 

COMMON STOCK NPV

 

BELGIUM

 

33,007

 

 

 

971,788

 

 

 

COLOPLAST B

 

COMMON STOCK DKK1.

 

BELGIUM

 

3,126

 

 

 

369,715

 

 

 

COLT GROUP SA

 

COMMON STOCK EUR.5

 

BELGIUM

 

15,903

 

 

 

788,676

 

 

 

D IETEREN SA/NV

 

COMMON STOCK NPV

 

BELGIUM

 

5,489

 

 

 

222,664

 

 

 

DELHAIZE GROUP

 

COMMON STOCK NPV

 

BELGIUM

 

19,545

 

 

 

781,959

 

 

 

DEXIA SA

 

COMMON STOCK NPV

 

BELGIUM

 

111,639

 

 

 

10,603

 

 

 

ELIA SYSTEM OPERATOR SA/NV

 

COMMON STOCK

 

BELGIUM

 

6,678

 

 

 

301,359

 

 

 

EURONAV SA

 

COMMON STOCK NPV

 

BELGIUM

 

1,664

 

 

 

9,999

 

 

 

EVS BROADCAST EQUIPMENT S.A.

 

COMMON STOCK NPV

 

BELGIUM

 

1,449

 

 

 

85,385

 

 

 

GROUPE BRUXELLES LAMBERT SA

 

COMMON STOCK NPV

 

BELGIUM

 

15,756

 

 

 

1,240,654

 

 

 

INTERVEST OFFICES+WAREHOUSES

 

REIT

 

BELGIUM

 

4,530

 

 

 

120,844

 

 

 

ION BEAM APPLICATIONS

 

COMMON STOCK NPV

 

BELGIUM

 

1,400

 

 

 

10,101

 

 

 

KBC ANCORA

 

COMMON STOCK NPV

 

BELGIUM

 

6,210

 

 

 

106,839

 

 

 

KBC GROEP NV

 

COMMON STOCK NPV

 

BELGIUM

 

30,248

 

 

 

1,051,623

 

 

 

MOBISTAR SA

 

COMMON STOCK NPV

 

BELGIUM

 

6,069

 

 

 

155,904

 

 

 

NYRSTAR

 

COMMON STOCK NPV

 

BELGIUM

 

35,531

 

 

 

218,047

 

 

 

SOLVAY SA

 

COMMON STOCK NPV

 

BELGIUM

 

12,350

 

 

 

1,775,708

 

 

 

TELENET GROUP HOLDING NV

 

COMMON STOCK NPV

 

BELGIUM

 

9,109

 

 

 

422,743

 

 

 

THROMBOGENICS NV

 

COMMON STOCK

 

BELGIUM

 

10,348

 

 

 

571,141

 

 

 

UCB SA

 

COMMON STOCK NPV

 

BELGIUM

 

20,478

 

 

 

1,176,697

 

 

 

UMICORE

 

COMMON STOCK NPV

 

BELGIUM

 

24,652

 

 

 

1,357,737

 

 

 

ALL AMERICA LATINA LOGISTICA

 

COMMON STOCK NPV

 

BRAZIL

 

76,300

 

 

 

312,684

 

 

 

ANHANGUERA EDUCACIONAL PARTI

 

COMMON STOCK NPV

 

BRAZIL

 

23,393

 

 

 

399,645

 

 

 

B2W CIA DIGITAL

 

COMMON STOCK NPV

 

BRAZIL

 

23,825

 

 

 

198,670

 

 

 

BANCO ABC BRASIL SA

 

PREFERENCE

 

BRAZIL

 

26,864

 

 

 

186,434

 

 

 

BANCO BRADESCO SA PREF

 

PREFERENCE

 

BRAZIL

 

332,423

 

 

 

5,789,540

 

 

 

BANCO DAYCOVAL SA

 

PREFERENCE

 

BRAZIL

 

25,167

 

 

 

125,286

 

 

 

BANCO DO BRASIL S.A.

 

COMMON STOCK NPV

 

BRAZIL

 

111,889

 

 

 

1,427,375

 

 

 

BANCO ESTADO RIO GRAN PREF B

 

PREFERENCE

 

BRAZIL

 

41,132

 

 

 

316,305

 

 

 

BANCO SANTANDER BRASIL UNIT

 

UNIT NPV

 

BRAZIL

 

135,583

 

 

 

989,583

 

 

 

BM+FBOVESPA SA

 

COMMON STOCK NPV

 

BRAZIL

 

321,908

 

 

 

2,247,026

 

 

 

BR MALLS PARTICIPACOES SA

 

COMMON STOCK NPV

 

BRAZIL

 

71,741

 

 

 

950,424

 

 

 

BRADESPAR SA PREF

 

PREFERENCE

 

BRAZIL

 

44,400

 

 

 

728,031

 

 

 

BRASKEM SA PREF A

 

PREFERENCE

 

BRAZIL

 

37,660

 

 

 

249,278

 

 

 

BRAZILIAN REAL

 

FOREIGN CURRENCY

 

BRAZIL

 

1,730,238

 

 

 

845,049

 

 

 

BRF SA

 

COMMON STOCK NPV

 

BRAZIL

 

122,432

 

 

 

2,576,293

 

 

 

CCR SA

 

COMMON STOCK NPV

 

BRAZIL

 

169,300

 

 

 

1,605,464

 

 

 

CENTRAIS ELETRIC STA CAT PRF

 

PREFERENCE

 

BRAZIL

 

10,131

 

 

 

133,405

 

 

 

CENTRAIS ELETRICAS BRAS PR B

 

PREFERENCE

 

BRAZIL

 

36,705

 

 

 

187,238

 

 

 

CENTRAIS ELETRICAS BRASILIER

 

COMMON STOCK NPV

 

BRAZIL

 

41,077

 

 

 

129,298

 

 

 

CETIP SA MERCADOS ORGANIZADO

 

COMMON STOCK NPV

 

BRAZIL

 

53,024

 

 

 

661,843

 

 

 

CIA BRASILEIRA DE DIS PREF

 

PREFERENCE

 

BRAZIL

 

16,715

 

 

 

735,532

 

 

 

CIA DE BEBIDAS DAS AME PREF

 

PREFERENCE

 

BRAZIL

 

129,963

 

 

 

5,472,872

 

 

 

CIA ENERGETICA DE SP PREF B

 

PREFERENCE

 

BRAZIL

 

29,866

 

 

 

286,062

 

 

 

CIA ENERGETICA DO CEARA PR A

 

PREFERENCE

 

BRAZIL

 

10,328

 

 

 

228,079

 

 

39



Table of Contents

 

 

 

CIA ENERGETICA MINAS GER PRF

 

PREFERENCE

 

BRAZIL

 

92,243

 

 

 

1,001,835

 

 

 

CIA FERRO LIGAS DA BAHIA FE

 

PREFERENCE

 

BRAZIL

 

67,100

 

 

 

411,797

 

 

 

CIA PARANAENSE DE ENERGI PFB

 

PREFERENCE

 

BRAZIL

 

17,507

 

 

 

269,708

 

 

 

CIA SANEAMENTO BASICO DE SP

 

COMMON STOCK NPV

 

BRAZIL

 

27,040

 

 

 

1,134,549

 

 

 

CIA SIDERURGICA NACIONAL SA

 

COMMON STOCK NPV

 

BRAZIL

 

136,988

 

 

 

816,022

 

 

 

CIMB GROUP HOLDINGS BHD

 

COMMON STOCK MYR1.

 

BRAZIL

 

51,872

 

 

 

1,452,412

 

 

 

CONTINENTAL AG

 

COMMON STOCK NPV

 

BRAZIL

 

14,100

 

 

 

170,909

 

 

 

COSCO CORP SINGAPORE LTD

 

COMMON STOCK NPV

 

BRAZIL

 

38,149

 

 

 

784,256

 

 

 

CRAMO OYJ

 

COMMON STOCK

 

BRAZIL

 

47,000

 

 

 

493,184

 

 

 

CYRELA BRAZIL REALTY SA EMP

 

COMMON STOCK NPV

 

BRAZIL

 

57,800

 

 

 

509,560

 

 

 

DIAGNOSTICOS DA AMERICA SA

 

COMMON STOCK NPV

 

BRAZIL

 

36,400

 

 

 

236,547

 

 

 

DURATEX SA

 

COMMON STOCK NPV

 

BRAZIL

 

49,597

 

 

 

362,362

 

 

 

EDP ENERGIAS DO BRASIL SA

 

COMMON STOCK NPV

 

BRAZIL

 

84,900

 

 

 

521,904

 

 

 

ELETROPAULO METROPOLI PREF

 

PREFERENCE

 

BRAZIL

 

19,077

 

 

 

158,257

 

 

 

EMBRAER SA

 

COMMON STOCK NPV

 

BRAZIL

 

130,770

 

 

 

935,761

 

 

 

ETERNIT SA

 

COMMON STOCK NPV

 

BRAZIL

 

45,729

 

 

 

182,381

 

 

 

FIBRIA CELULOSE SA

 

COMMON STOCK NPV

 

BRAZIL

 

21,478

 

 

 

239,635

 

 

 

GAFISA SA

 

COMMON STOCK NPV

 

BRAZIL

 

95,454

 

 

 

222,747

 

 

 

GERDAU SA PREF

 

PREFERENCE

 

BRAZIL

 

186,504

 

 

 

1,664,468

 

 

 

GOL LINHAS AEREAS PREF

 

PREFERENCE

 

BRAZIL

 

22,900

 

 

 

149,911

 

 

 

HRT PARTICIPACOES EM PETROLE

 

COMMON STOCK NPV

 

BRAZIL

 

41,900

 

 

 

97,253

 

 

 

HYPERMARCAS SA

 

COMMON STOCK NPV

 

BRAZIL

 

50,611

 

 

 

419,250

 

 

 

INDS KLABIN PAPEL E CELU PRF

 

PREFERENCE

 

BRAZIL

 

104,000

 

 

 

656,726

 

 

 

ITAU UNIBANCO HOLDING S PREF

 

PREFERENCE

 

BRAZIL

 

399,800

 

 

 

6,603,830

 

 

 

ITAUSA INVESTIMENTOS ITAU PR

 

PREFERENCE

 

BRAZIL

 

496,027

 

 

 

2,396,246

 

 

 

JBS SA

 

COMMON STOCK NPV

 

BRAZIL

 

129,197

 

 

 

383,679

 

 

 

KROTON EDUCACIONAL SA

 

COMMON STOCK NPV

 

BRAZIL

 

18,595

 

 

 

420,034

 

 

 

LLX LOGISTICA SA ORD

 

COMMON STOCK NPV

 

BRAZIL

 

129,435

 

 

 

153,372

 

 

 

LOCALIZA RENT A CAR

 

COMMON STOCK NPV

 

BRAZIL

 

27,471

 

 

 

504,915

 

 

 

LOG IN LOGISTICA INTERMODAL

 

COMMON STOCK NPV

 

BRAZIL

 

35,315

 

 

 

147,434

 

 

 

LOJAS AMERICANAS SA PREF

 

PREFERENCE

 

BRAZIL

 

80,781

 

 

 

728,102

 

 

 

LOJAS RENNER S.A.

 

COMMON STOCK NPV

 

BRAZIL

 

22,000

 

 

 

860,779

 

 

 

LPS BRASIL CONS DE IMOVEIS

 

COMMON STOCK NPV

 

BRAZIL

 

10,417

 

 

 

192,769

 

 

 

MARFRIG ALIMENTOS SA

 

COMMON STOCK NPV

 

BRAZIL

 

24,200

 

 

 

102,660

 

 

 

METALURGICA GERDAU SA PREF

 

PREFERENCE

 

BRAZIL

 

87,900

 

 

 

1,007,667

 

 

 

MRV ENGENHARIA

 

COMMON STOCK NPV

 

BRAZIL

 

59,384

 

 

 

356,611

 

 

 

NATURA COSMETICOS SA

 

COMMON STOCK NPV

 

BRAZIL

 

41,400

 

 

 

1,187,926

 

 

 

ODONTOPREV S.A.

 

COMMON STOCK NPV

 

BRAZIL

 

54,912

 

 

 

290,123

 

 

 

OGX PETROLEO E GAS PARTICIPA

 

COMMON STOCK NPV

 

BRAZIL

 

238,600

 

 

 

523,123

 

 

 

OI SA

 

ADR

 

BRAZIL

 

39,647

 

 

 

173,082

 

 

 

OI SA PREFERENCE

 

PREFERENCE

 

BRAZIL

 

191,321

 

 

 

776,344

 

 

 

PDG REALTY SA

 

COMMON STOCK NPV

 

BRAZIL

 

207,690

 

 

 

343,350

 

 

 

PETROBRAS PETROLEO BRAS

 

COMMON STOCK NPV

 

BRAZIL

 

512,803

 

 

 

5,020,576

 

 

 

PETROBRAS PETROLEO BRAS PR

 

PREFERENCE

 

BRAZIL

 

692,817

 

 

 

6,702,316

 

 

 

ROSSI RESIDENCIAL SA

 

COMMON STOCK NPV

 

BRAZIL

 

25,724

 

 

 

57,164

 

 

 

ROSSI RESIDENCIAL SA RCT

 

RECEIPT

 

BRAZIL

 

46,118

 

 

 

104,539

 

 

 

SARAIVA SA LIVREIROS PREF

 

PREFERENCE

 

BRAZIL

 

8,400

 

 

 

107,141

 

 

 

SOUZA CRUZ SA

 

COMMON STOCK NPV

 

BRAZIL

 

69,265

 

 

 

1,048,914

 

 

 

TELEFONICA BRASIL S.A. PREF

 

PREFERENCE

 

BRAZIL

 

58,348

 

 

 

1,407,064

 

 

 

TIM PARTICIPACOES SA

 

COMMON STOCK NPV

 

BRAZIL

 

152,872

 

 

 

609,418

 

 

 

TRACTEBEL ENERGIA SA

 

COMMON STOCK NPV

 

BRAZIL

 

38,300

 

 

 

624,006

 

 

 

ULTRAPAR PARTICIPACOES SA

 

COMMON STOCK NPV

 

BRAZIL

 

59,200

 

 

 

1,328,368

 

 

 

USINAS SIDER MINAS GER PF A

 

PREFERENCE

 

BRAZIL

 

92,270

 

 

 

601,522

 

 

 

VALE SA

 

COMMON STOCK NPV

 

BRAZIL

 

233,548

 

 

 

4,913,603

 

 

 

VALE SA PREF

 

PREFERENCE

 

BRAZIL

 

332,416

 

 

 

6,763,215

 

 

 

VALID SOLUCOES SA

 

COMMON STOCK NPV

 

BRAZIL

 

25,317

 

 

 

562,425

 

 

 

ADVANTAGE OIL + GAS LTD

 

COMMON STOCK NPV

 

CANADA

 

47,800

 

 

 

153,621

 

 

 

AGNICO EAGLE MINES LTD

 

COMMON STOCK NPV

 

CANADA

 

28,800

 

 

 

1,507,828

 

 

 

AGRIUM INC W/D

 

COMMON STOCK NPV

 

CANADA

 

29,587

 

 

 

2,945,923

 

 

 

AIMIA INC

 

COMMON STOCK NPV

 

CANADA

 

42,272

 

 

 

631,299

 

 

 

ALACER GOLD CORP

 

COMMON STOCK NPV

 

CANADA

 

36,500

 

 

 

190,620

 

 

 

ALAMOS GOLD INC

 

COMMON STOCK NPV

 

CANADA

 

24,000

 

 

 

420,609

 

 

 

ALIMENTATION COUCHE TARD B

 

COMMON STOCK NPV

 

CANADA

 

25,000

 

 

 

1,228,533

 

 

 

ALTEN

 

COMMON STOCK NPV

 

CANADA

 

28,000

 

 

 

944,019

 

 

 

ARC RESOURCES LTD

 

COMMON STOCK NPV

 

CANADA

 

59,000

 

 

 

1,448,187

 

 

 

ASTRAL MEDIA INC A

 

COMMON STOCK NPV

 

CANADA

 

9,500

 

 

 

441,082

 

 

 

ATCO LTD CLASS I

 

COMMON STOCK NPV

 

CANADA

 

7,400

 

 

 

599,908

 

 

 

ATHABASCA OIL CORP

 

COMMON STOCK

 

CANADA

 

76,300

 

 

 

800,778

 

 

 

ATRIUM INNOVATIONS INC

 

COMMON STOCK

 

CANADA

 

9,400

 

 

 

112,815

 

 

 

ATS AUTOMATION TOOLING SYS

 

COMMON STOCK NPV

 

CANADA

 

35,400

 

 

 

312,510

 

 

 

AURICO GOLD INC

 

COMMON STOCK NPV

 

CANADA

 

49,037

 

 

 

403,347

 

 

 

AURIZON MINES LTD

 

COMMON STOCK NPV

 

CANADA

 

44,700

 

 

 

153,983

 

 

 

BANK OF MONTREAL

 

COMMON STOCK NPV

 

CANADA

 

102,544

 

 

 

6,267,779

 

 

 

BANK OF NOVA SCOTIA

 

COMMON STOCK NPV

 

CANADA

 

180,100

 

 

 

10,393,237

 

 

 

BANKERS PETROLEUM LTD

 

COMMON STOCK NPV

 

CANADA

 

51,800

 

 

 

166,996

 

 

 

BARRICK GOLD CORP

 

COMMON STOCK NPV

 

CANADA

 

171,625

 

 

 

6,001,790

 

 

 

BAYTEX ENERGY CORP

 

COMMON STOCK NPV

 

CANADA

 

28,350

 

 

 

1,220,613

 

 

 

BCE INC

 

COMMON STOCK NPV

 

CANADA

 

42,667

 

 

 

1,826,749

 

 

 

BLACKPEARL RESOURCES INC

 

COMMON STOCK NPV

 

CANADA

 

68,700

 

 

 

209,060

 

 

 

BOMBARDIER INC B

 

COMMON STOCK NPV

 

CANADA

 

268,399

 

 

 

1,013,538

 

 

40



Table of Contents

 

 

 

BONAVISTA ENERGY CORP

 

COMMON STOCK NPV

 

CANADA

 

25,800

 

 

 

384,007

 

 

 

BROOKFIELD ASSET MANAGE CL A

 

COMMON STOCK NPV

 

CANADA

 

97,850

 

 

 

3,581,053

 

 

 

BROOKFIELD OFFICE PROPERTIES

 

COMMON STOCK NPV

 

CANADA

 

44,442

 

 

 

756,991

 

 

 

CAE INC

 

COMMON STOCK NPV

 

CANADA

 

47,951

 

 

 

484,952

 

 

 

CALFRAC WELL SERVICES LTD

 

COMMON STOCK NPV

 

CANADA

 

11,300

 

 

 

284,287

 

 

 

CAMECO CORP

 

COMMON STOCK NPV

 

CANADA

 

77,868

 

 

 

1,532,022

 

 

 

CAN IMPERIAL BK OF COMMERCE

 

COMMON STOCK NPV

 

CANADA

 

68,515

 

 

 

5,502,807

 

 

 

CANADIAN DOLLAR

 

FOREIGN CURRENCY

 

CANADA

 

5,507,496

 

 

 

5,531,281

 

 

 

CANADIAN NATL RAILWAY CO

 

COMMON STOCK NPV

 

CANADA

 

75,842

 

 

 

6,880,394

 

 

 

CANADIAN NATURAL RESOURCES

 

COMMON STOCK NPV

 

CANADA

 

194,840

 

 

 

5,604,316

 

 

 

CANADIAN OIL SANDS LTD

 

COMMON STOCK NPV

 

CANADA

 

94,900

 

 

 

1,922,399

 

 

 

CANADIAN PACIFIC RAILWAY LTD

 

COMMON STOCK NPV

 

CANADA

 

32,852

 

 

 

3,329,082

 

 

 

CANADIAN TIRE CORP CLASS A

 

COMMON STOCK NPV

 

CANADA

 

14,862

 

 

 

1,035,579

 

 

 

CANADIAN UTILITIES LTD A

 

COMMON STOCK NPV

 

CANADA

 

13,900

 

 

 

1,004,284

 

 

 

CANADIAN WESTERN BANK

 

COMMON STOCK NPV

 

CANADA

 

14,100

 

 

 

402,736

 

 

 

CANFOR CORP

 

COMMON STOCK NPV

 

CANADA

 

27,700

 

 

 

461,249

 

 

 

CAPSTONE MINING CORP

 

COMMON STOCK NPV

 

CANADA

 

85,700

 

 

 

207,429

 

 

 

CASCADES INC

 

COMMON STOCK NPV

 

CANADA

 

13,300

 

 

 

54,765

 

 

 

CATAMARAN CORP

 

COMMON STOCK NPV

 

CANADA

 

23,000

 

 

 

1,080,587

 

 

 

CELESTICA INC W/D

 

COMMON STOCK NPV

 

CANADA

 

49,500

 

 

 

401,190

 

 

 

CENOVUS ENERGY INC

 

COMMON STOCK NPV

 

CANADA

 

135,092

 

 

 

4,516,634

 

 

 

CENTERRA GOLD INC

 

COMMON STOCK NPV

 

CANADA

 

36,100

 

 

 

337,542

 

 

 

CGG

 

COMMON STOCK EUR.4

 

CANADA

 

48,130

 

 

 

1,108,870

 

 

 

CI FINANCIAL CORP

 

COMMON STOCK NPV

 

CANADA

 

22,819

 

 

 

571,334

 

 

 

COMMERCIAL INTERNATIONAL BAN

 

COMMON STOCK EGP10.

 

CANADA

 

34,900

 

 

 

791,095

 

 

 

CONSTRUCC Y AUX DE FERROCARR

 

COMMON STOCK EUR3.01

 

CANADA

 

142,200

 

 

 

25,707

 

 

 

CRESUD S.A.C.I.F.Y A.

 

COMMON STOCK ARS1.

 

CANADA

 

56,450

 

 

 

2,132,820

 

 

 

CRH PLC

 

COMMON STOCK EUR.32

 

CANADA

 

16,400

 

 

 

106,896

 

 

 

DAVIS + HENDERSON CORP

 

COMMON STOCK

 

CANADA

 

13,500

 

 

 

292,317

 

 

 

DENISON MINES CORP

 

COMMON STOCK NPV

 

CANADA

 

120,348

 

 

 

148,667

 

 

 

DETOUR GOLD CORP

 

COMMON STOCK NPV

 

CANADA

 

20,900

 

 

 

522,448

 

 

 

DOLLARAMA INC

 

COMMON STOCK

 

CANADA

 

13,300

 

 

 

787,688

 

 

 

EASTERN PLATINUM LTD

 

COMMON STOCK NPV

 

CANADA

 

214,400

 

 

 

35,529

 

 

 

ELDORADO GOLD CORP

 

COMMON STOCK NPV

 

CANADA

 

117,495

 

 

 

1,510,431

 

 

 

EMPIRE CO LTD A

 

COMMON STOCK

 

CANADA

 

4,300

 

 

 

254,580

 

 

 

ENBRIDGE INC

 

COMMON STOCK NPV

 

CANADA

 

132,740

 

 

 

5,735,136

 

 

 

ENCANA CORP

 

COMMON STOCK NPV

 

CANADA

 

128,492

 

 

 

2,537,062

 

 

 

ENERFLEX LTD

 

COMMON STOCK

 

CANADA

 

11,004

 

 

 

132,397

 

 

 

ENERPLUS CORP

 

COMMON STOCK NPV

 

CANADA

 

30,500

 

 

 

395,149

 

 

 

ENSIGN ENERGY SERVICES INC

 

COMMON STOCK NPV

 

CANADA

 

23,900

 

 

 

368,929

 

 

 

EXFO INC

 

COMMON STOCK NPV

 

CANADA

 

17,700

 

 

 

94,926

 

 

 

FINNING INTERNATIONAL INC

 

COMMON STOCK NPV

 

CANADA

 

32,000

 

 

 

789,635

 

 

 

FIRST MAJESTIC SILVER CORP

 

COMMON STOCK NPV

 

CANADA

 

35,200

 

 

 

709,161

 

 

 

FIRST QUANTUM MINERALS LTD

 

COMMON STOCK NPV

 

CANADA

 

83,800

 

 

 

1,843,987

 

 

 

FIRSTSERVICE CORP

 

COMMON STOCK NPV

 

CANADA

 

8,600

 

 

 

242,531

 

 

 

FORTIS INC

 

COMMON STOCK NPV

 

CANADA

 

29,900

 

 

 

1,027,597

 

 

 

FRANCO NEVADA CORP

 

COMMON STOCK NPV

 

CANADA

 

30,100

 

 

 

1,716,459

 

 

 

GABRIEL RESOURCES LTD

 

COMMON STOCK NPV

 

CANADA

 

52,024

 

 

 

123,307

 

 

 

GILDAN ACTIVEWEAR INC

 

COMMON STOCK NPV

 

CANADA

 

21,100

 

 

 

769,873

 

 

 

GOLDCORP INC

 

COMMON STOCK NPV

 

CANADA

 

138,868

 

 

 

5,100,334

 

 

 

GOLDEN STAR RESOURCES LTD

 

COMMON STOCK NPV

 

CANADA

 

124,730

 

 

 

233,000

 

 

 

GREAT WEST LIFECO INC

 

COMMON STOCK NPV

 

CANADA

 

47,218

 

 

 

1,154,724

 

 

 

GUYANA GOLDFIELDS INC

 

COMMON STOCK NPV

 

CANADA

 

47,700

 

 

 

149,946

 

 

 

H+R REAL ESTATE INV REIT UTS

 

REIT NPV

 

CANADA

 

23,100

 

 

 

559,114

 

 

 

HOME CAPITAL GROUP INC

 

COMMON STOCK NPV

 

CANADA

 

10,500

 

 

 

622,914

 

 

 

HUDBAY MINERALS INC

 

COMMON STOCK NPV

 

CANADA

 

40,900

 

 

 

411,588

 

 

 

HUSKY ENERGY INC

 

COMMON STOCK NPV

 

CANADA

 

67,480

 

 

 

1,992,480

 

 

 

IAMGOLD CORP

 

COMMON STOCK NPV

 

CANADA

 

65,250

 

 

 

746,407

 

 

 

IGM FINANCIAL INC

 

COMMON STOCK NPV

 

CANADA

 

22,000

 

 

 

919,152

 

 

 

IMPERIAL OIL LTD

 

COMMON STOCK NPV

 

CANADA

 

52,540

 

 

 

2,254,730

 

 

 

INDUSTRIAL ALLIANCE INSURANC

 

COMMON STOCK

 

CANADA

 

13,700

 

 

 

431,763

 

 

 

INMET MINING CORPORATION

 

COMMON STOCK NPV

 

CANADA

 

9,800

 

 

 

728,430

 

 

 

INTACT FINANCIAL CORP

 

COMMON STOCK NPV

 

CANADA

 

22,800

 

 

 

1,483,133

 

 

 

JEAN COUTU GROUP INC CLASS A

 

COMMON STOCK NPV

 

CANADA

 

35,000

 

 

 

510,746

 

 

 

JUST ENERGY GROUP INC

 

COMMON STOCK

 

CANADA

 

36,500

 

 

 

347,881

 

 

 

KEYERA CORP

 

COMMON STOCK NPV

 

CANADA

 

18,200

 

 

 

899,855

 

 

 

KINROSS GOLD CORP

 

COMMON STOCK NPV

 

CANADA

 

189,329

 

 

 

1,836,816

 

 

 

LAURENTIAN BANK OF CANADA

 

COMMON STOCK NPV

 

CANADA

 

4,900

 

 

 

217,712

 

 

 

LOBLAW COMPANIES LTD

 

COMMON STOCK NPV

 

CANADA

 

20,411

 

 

 

859,529

 

 

 

LONG RUN EXPLORATION LTD

 

COMMON STOCK

 

CANADA

 

17,668

 

 

 

86,947

 

 

 

LUNDIN MINING CORP

 

COMMON STOCK NPV

 

CANADA

 

103,100

 

 

 

530,152

 

 

 

MACDONALD DETTWILER + ASSOC

 

COMMON STOCK

 

CANADA

 

5,704

 

 

 

320,574

 

 

 

MAGNA INTERNATIONAL INC

 

COMMON STOCK NPV

 

CANADA

 

41,856

 

 

 

2,088,386

 

 

 

MANULIFE FINANCIAL CORP

 

COMMON STOCK NPV

 

CANADA

 

330,591

 

 

 

4,485,572

 

 

 

MAPLE LEAF FOODS INC

 

COMMON STOCK NPV

 

CANADA

 

26,800

 

 

 

322,181

 

 

 

MARTINREA INTERNATIONAL INC

 

COMMON STOCK NPV

 

CANADA

 

23,200

 

 

 

180,576

 

 

 

MEG ENERGY CORP

 

COMMON STOCK

 

CANADA

 

27,600

 

 

 

843,772

 

 

 

METHANEX CORP

 

COMMON STOCK NPV

 

CANADA

 

20,400

 

 

 

649,063

 

 

 

METRO INC

 

COMMON STOCK NPV

 

CANADA

 

19,100

 

 

 

1,214,827

 

 

 

MORNEAU SHEPELL INC

 

COMMON STOCK

 

CANADA

 

8,500

 

 

 

108,416

 

 

41



Table of Contents

 

 

 

MULLEN GROUP LTD

 

COMMON STOCK NPV

 

CANADA

 

13,600

 

 

 

285,468

 

 

 

NATIONAL BANK OF CANADA

 

COMMON STOCK NPV

 

CANADA

 

29,435

 

 

 

2,283,378

 

 

 

NEW GOLD INC

 

COMMON STOCK NPV

 

CANADA

 

85,300

 

 

 

943,209

 

 

 

NEWALTA CORP

 

COMMON STOCK

 

CANADA

 

30,200

 

 

 

470,122

 

 

 

NEXEN INC

 

COMMON STOCK NPV

 

CANADA

 

91,480

 

 

 

2,441,120

 

 

 

NIKO RESOURCES LTD

 

COMMON STOCK NPV

 

CANADA

 

8,100

 

 

 

86,638

 

 

 

NORBORD INC

 

COMMON STOCK NPV

 

CANADA

 

20,250

 

 

 

613,988

 

 

 

NORTH WEST CO INC/THE

 

COMMON STOCK NPV

 

CANADA

 

8,200

 

 

 

184,391

 

 

 

NORTHERN PROPERTY REAL ESTAT

 

REIT

 

CANADA

 

19,400

 

 

 

602,049

 

 

 

NOVAGOLD RESOURCES INC

 

COMMON STOCK NPV

 

CANADA

 

44,400

 

 

 

200,663

 

 

 

NUVISTA ENERGY LTD

 

COMMON STOCK

 

CANADA

 

22,700

 

 

 

133,824

 

 

 

ONEX CORPORATION

 

COMMON STOCK NPV

 

CANADA

 

18,255

 

 

 

767,638

 

 

 

OPEN TEXT CORP

 

COMMON STOCK NPV

 

CANADA

 

10,300

 

 

 

575,463

 

 

 

OSISKO MINING CORP

 

COMMON STOCK NPV

 

CANADA

 

61,060

 

 

 

490,590

 

 

 

PACE OIL AND GAS LTD

 

COMMON STOCK

 

CANADA

 

33,145

 

 

 

109,518

 

 

 

PACIFIC RUBIALES ENERGY CORP

 

COMMON STOCK

 

CANADA

 

55,600

 

 

 

1,290,465

 

 

 

PAN AMERICAN SILVER CORP

 

COMMON STOCK NPV

 

CANADA

 

41,796

 

 

 

782,442

 

 

 

PAN AMERICAN SILVER CORP WTS

 

EXP07DEC14

 

CANADA

 

519

 

 

 

0

 

 

 

PASON SYSTEMS INC

 

COMMON STOCK NPV

 

CANADA

 

23,200

 

 

 

399,598

 

 

 

PEMBINA PIPELINE CORP

 

COMMON STOCK NPV

 

CANADA

 

54,332

 

 

 

1,552,966

 

 

 

PENGROWTH ENERGY CORP

 

COMMON STOCK NPV

 

CANADA

 

115,000

 

 

 

571,708

 

 

 

PENN WEST PETROLEUM LTD

 

COMMON STOCK NPV

 

CANADA

 

104,785

 

 

 

1,136,565

 

 

 

PETROBAKKEN ENERGY LTD A

 

COMMON STOCK

 

CANADA

 

16,100

 

 

 

165,738

 

 

 

PETROBANK ENERGY + RESOURCES

 

COMMON STOCK NPV

 

CANADA

 

20,000

 

 

 

249,071

 

 

 

PETROMINERALES LTD

 

COMMON STOCK NPV

 

CANADA

 

20,723

 

 

 

178,987

 

 

 

PEYTO EXPLORATION + DEV CORP

 

COMMON STOCK NPV

 

CANADA

 

27,200

 

 

 

628,029

 

 

 

POTASH CORP OF SASKATCHEWAN

 

COMMON STOCK NPV

 

CANADA

 

147,196

 

 

 

5,984,226

 

 

 

POWER CORP OF CANADA

 

COMMON STOCK NPV

 

CANADA

 

64,922

 

 

 

1,654,836

 

 

 

POWER FINANCIAL CORP

 

COMMON STOCK NPV

 

CANADA

 

40,000

 

 

 

1,094,306

 

 

 

PRECISION DRILLING CORP

 

COMMON STOCK NPV

 

CANADA

 

45,900

 

 

 

378,927

 

 

 

PROGRESSIVE WASTE SOLUTIONS

 

COMMON STOCK

 

CANADA

 

18,900

 

 

 

407,725

 

 

 

RESEARCH IN MOTION

 

COMMON STOCK

 

CANADA

 

81,200

 

 

 

962,298

 

 

 

RIOCAN REAL ESTATE INVST TR

 

REIT NPV

 

CANADA

 

25,700

 

 

 

711,351

 

 

 

RITCHIE BROS AUCTIONEERS

 

COMMON STOCK NPV

 

CANADA

 

19,100

 

 

 

398,037

 

 

 

ROGERS COMMUNICATIONS INC B

 

COMMON STOCK NPV

 

CANADA

 

77,242

 

 

 

3,503,313

 

 

 

RONA INC

 

COMMON STOCK NPV

 

CANADA

 

18,200

 

 

 

195,033

 

 

 

ROYAL BANK OF CANADA

 

COMMON STOCK NPV

 

CANADA

 

239,560

 

 

 

14,406,802

 

 

 

S.O.I.T.E.C.

 

COMMON STOCK NPV

 

CANADA

 

11,000

 

 

 

110,806

 

 

 

SAPUTO INC

 

COMMON STOCK NPV

 

CANADA

 

26,700

 

 

 

1,349,078

 

 

 

SEMAFO INC

 

COMMON STOCK NPV

 

CANADA

 

53,500

 

 

 

183,760

 

 

 

SHAW COMMUNICATIONS INC B

 

COMMON STOCK NPV

 

CANADA

 

64,432

 

 

 

1,477,982

 

 

 

SHAWCOR LTD CLASS A

 

COMMON STOCK NPV

 

CANADA

 

9,700

 

 

 

379,836

 

 

 

SHERRITT INTERNATIONAL CORP

 

COMMON STOCK NPV

 

CANADA

 

69,500

 

 

 

401,351

 

 

 

SHOPPERS DRUG MART CORP

 

COMMON STOCK NPV

 

CANADA

 

35,800

 

 

 

1,538,857

 

 

 

SIERRA WIRELESS INC

 

COMMON STOCK NPV

 

CANADA

 

11,900

 

 

 

94,655

 

 

 

SILVER STANDARD RESOURCES

 

COMMON STOCK NPV

 

CANADA

 

19,500

 

 

 

290,434

 

 

 

SILVER WHEATON CORP

 

COMMON STOCK NPV

 

CANADA

 

70,900

 

 

 

2,553,454

 

 

 

SILVERCORP METALS INC

 

COMMON STOCK NPV

 

CANADA

 

46,200

 

 

 

236,638

 

 

 

SINO FOREST CORP

 

COMMON STOCK NPV

 

CANADA

 

41,300

 

 

 

0

 

 

 

SNC LAVALIN GROUP INC

 

COMMON STOCK NPV

 

CANADA

 

28,200

 

 

 

1,141,934

 

 

 

SPROTT INC

 

COMMON STOCK

 

CANADA

 

30,900

 

 

 

122,892

 

 

 

STANTEC INC

 

COMMON STOCK NPV

 

CANADA

 

12,200

 

 

 

487,044

 

 

 

SUN LIFE FINANCIAL INC

 

COMMON STOCK NPV

 

CANADA

 

97,597

 

 

 

2,584,747

 

 

 

SUNCOR ENERGY INC

 

COMMON STOCK NPV

 

CANADA

 

266,511

 

 

 

8,755,222

 

 

 

SUPERIOR PLUS CORP

 

COMMON STOCK NPV

 

CANADA

 

19,900

 

 

 

204,656

 

 

 

TAHOE RESOURCES INC

 

COMMON STOCK

 

CANADA

 

17,600

 

 

 

321,703

 

 

 

TALISMAN ENERGY INC

 

COMMON STOCK NPV

 

CANADA

 

189,449

 

 

 

2,140,505

 

 

 

TASEKO MINES LTD

 

COMMON STOCK NPV

 

CANADA

 

108,300

 

 

 

329,566

 

 

 

TECK RESOURCES LTD CLS B

 

COMMON STOCK NPV

 

CANADA

 

109,861

 

 

 

3,988,626

 

 

 

TELUS CORPORATION

 

COMMON STOCK NPV

 

CANADA

 

27,124

 

 

 

1,761,957

 

 

 

THOMPSON CREEK METALS CO INC

 

COMMON STOCK NPV

 

CANADA

 

43,900

 

 

 

181,649

 

 

 

THOMSON REUTERS CORP

 

COMMON STOCK NPV

 

CANADA

 

64,530

 

 

 

1,865,194

 

 

 

TIM HORTONS INC

 

COMMON STOCK NPV

 

CANADA

 

29,000

 

 

 

1,422,185

 

 

 

TMX GROUP LTD

 

COMMON STOCK NPV

 

CANADA

 

1,272

 

 

 

64,794

 

 

 

TOROMONT INDUSTRIES LTD

 

COMMON STOCK NPV

 

CANADA

 

21,104

 

 

 

447,217

 

 

 

TORONTO DOMINION BANK

 

COMMON STOCK NPV

 

CANADA

 

145,400

 

 

 

12,229,838

 

 

 

TOURMALINE OIL CORP

 

COMMON STOCK

 

CANADA

 

29,300

 

 

 

918,991

 

 

 

TRANSALTA CORP

 

COMMON STOCK NPV

 

CANADA

 

69,696

 

 

 

1,058,354

 

 

 

TRANSCANADA CORP

 

COMMON STOCK NPV

 

CANADA

 

120,165

 

 

 

5,674,559

 

 

 

TRICAN WELL SERVICE LTD

 

COMMON STOCK NPV

 

CANADA

 

25,600

 

 

 

337,322

 

 

 

TRINIDAD DRILLING LTD

 

COMMON STOCK

 

CANADA

 

33,500

 

 

 

231,475

 

 

 

TURQUOISE HILL RESOURCES LTD

 

COMMON STOCK NPV

 

CANADA

 

71,415

 

 

 

545,098

 

 

 

URANIUM ONE INC

 

COMMON STOCK NPV

 

CANADA

 

94,700

 

 

 

223,506

 

 

 

VALEANT PHARMACEUTICALS INTE

 

COMMON STOCK NPV

 

CANADA

 

52,877

 

 

 

3,151,272

 

 

 

VERESEN INC

 

COMMON STOCK NPV

 

CANADA

 

49,900

 

 

 

592,866

 

 

 

VERMILION ENERGY INC

 

COMMON STOCK

 

CANADA

 

22,400

 

 

 

1,169,155

 

 

 

WEST FRASER TIMBER CO LTD

 

COMMON STOCK NPV

 

CANADA

 

7,700

 

 

 

541,714

 

 

 

WESTON (GEORGE) LTD

 

COMMON STOCK NPV

 

CANADA

 

9,715

 

 

 

689,622

 

 

 

WESTPORT INNOVATIONS INC

 

COMMON STOCK NPV

 

CANADA

 

10,900

 

 

 

288,127

 

 

 

YAMANA GOLD INC

 

COMMON STOCK NPV

 

CANADA

 

142,212

 

 

 

2,443,755

 

 

42



Table of Contents

 

 

 

CAP SA

 

COMMON STOCK

 

CHILE

 

21,067

 

 

 

715,840

 

 

 

CENCOSUD SA

 

COMMON STOCK NPV

 

CHILE

 

182,426

 

 

 

990,849

 

 

 

CHIBA KOGYO BANK LTD/THE

 

COMMON STOCK

 

CHILE

 

309,406,811

 

 

 

646,213

 

 

 

CIA SUD AMERICANA DE VAPORES

 

COMMON STOCK

 

CHILE

 

305,673

 

 

 

27,453

 

 

 

EMPRESAS CMPC SA

 

COMMON STOCK NPV

 

CHILE

 

176,290

 

 

 

653,717

 

 

 

EMPRESAS COPEC SA

 

COMMON STOCK NPV

 

CHILE

 

72,913

 

 

 

1,035,859

 

 

 

EMPRESAS LA POLAR SA

 

COMMON STOCK NPV

 

CHILE

 

351,897

 

 

 

153,993

 

 

 

INVERSIONES AGUAS METROPOL

 

COMMON STOCK NPV

 

CHILE

 

161,014

 

 

 

325,237

 

 

 

MASISA SA

 

COMMON STOCK NPV

 

CHILE

 

2,006,459

 

 

 

211,145

 

 

 

PARQUE ARAUCO S.A.

 

COMMON STOCK NPV

 

CHILE

 

448,797

 

 

 

1,118,267

 

 

 

S OIL CORPORATION

 

COMMON STOCK KRW2500.

 

CHILE

 

84,909

 

 

 

876,288

 

 

 

SALFACORP SA

 

COMMON STOCK NPV

 

CHILE

 

75,801

 

 

 

155,811

 

 

 

SOCIEDAD MATRIZ SAAM SA

 

COMMON STOCK

 

CHILE

 

341,396

 

 

 

41,212

 

 

 

SOCOVESA SA

 

COMMON STOCK CLP1.

 

CHILE

 

1,070,772

 

 

 

512,056

 

 

 

SONDA SA

 

COMMON STOCK

 

CHILE

 

184,856

 

 

 

592,790

 

 

 

VINA CONCHA Y TORO S.A.

 

COMMON STOCK NPV

 

CHILE

 

97,773

 

 

 

188,312

 

 

 

CHINA VANKE CO LTD B

 

COMMON STOCK CNY1.

 

CHINA

 

218,600

 

 

 

350,037

 

 

 

HUADIAN ENERGY CO LTD B

 

COMMON STOCK CNY1.

 

CHINA

 

236,100

 

 

 

63,757

 

 

 

INNER MONGOLIA YITAI COAL B

 

COMMON STOCK CNY1.

 

CHINA

 

125,200

 

 

 

713,303

 

 

 

JIANGSU FUTURE LAND CO LTD B

 

COMMON STOCK CNY1.

 

CHINA

 

337,800

 

 

 

287,436

 

 

 

SGSB GROUP CO LTD B

 

COMMON STOCK CNY1.

 

CHINA

 

323,345

 

 

 

141,612

 

 

 

SHENZHEN CHIWAN PETROLEUM B

 

COMMON STOCK CNY1.

 

CHINA

 

100,600

 

 

 

143,680

 

 

 

TSANN KUEN (CHINA) ENT CO B

 

COMMON STOCK CNY1.

 

CHINA

 

190,916

 

 

 

73,156

 

 

 

YUAN RENMINBI

 

FOREIGN CURRENCY

 

CHINA

 

421

 

 

 

68

 

 

 

CENTRAL EUROPEAN MEDIA ENT A

 

COMMON STOCK USD.08

 

CZECH REPUBLIC

 

18,734

 

 

 

110,727

 

 

 

CEZ AS

 

COMMON STOCK CZK100.

 

CZECH REPUBLIC

 

36,284

 

 

 

1,303,219

 

 

 

CZECH KORUNA

 

FOREIGN CURRENCY

 

CZECH REPUBLIC

 

4,719,542

 

 

 

247,942

 

 

 

KOMERCNI BANKA AS

 

COMMON STOCK CZK500.

 

CZECH REPUBLIC

 

1,457

 

 

 

307,854

 

 

 

PHILIP MORRIS CR AS

 

COMMON STOCK CZK1000.

 

CZECH REPUBLIC

 

69

 

 

 

38,787

 

 

 

TELEFONICA CZECH REPUBLIC AS

 

COMMON STOCK CZK100.

 

CZECH REPUBLIC

 

14,759

 

 

 

250,853

 

 

 

UNIPETROL AS

 

COMMON STOCK CZK100.

 

CZECH REPUBLIC

 

8,580

 

 

 

79,225

 

 

 

AMATA CORP PUBLIC CO LTD FOR

 

COMMON STOCK THB1. A

 

DENMARK

 

59,280

 

 

 

0

 

 

 

AP MOELLER MAERSK A/S A

 

COMMON STOCK DKK1000.

 

DENMARK

 

109

 

 

 

775,289

 

 

 

AP MOELLER MAERSK A/S B

 

COMMON STOCK DKK1000.

 

DENMARK

 

213

 

 

 

1,628,437

 

 

 

AURIGA INDUSTRIES B

 

COMMON STOCK DKK10.

 

DENMARK

 

1,581

 

 

 

24,625

 

 

 

BANG + OLUFSEN A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

3,603

 

 

 

43,157

 

 

 

BAVARIAN NORDIC A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

5,330

 

 

 

46,927

 

 

 

CARLSBERG AS B

 

COMMON STOCK DKK20.

 

DENMARK

 

18,765

 

 

 

1,842,656

 

 

 

CHR HANSEN HOLDING A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

19,090

 

 

 

621,643

 

 

 

COLOWIDE CO LTD

 

COMMON STOCK

 

DENMARK

 

24,220

 

 

 

1,185,606

 

 

 

DANISH KRONE

 

FOREIGN CURRENCY

 

DENMARK

 

138,474

 

 

 

24,469

 

 

 

DANSKE BANK A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

110,219

 

 

 

1,871,526

 

 

 

DFDS A/S

 

COMMON STOCK DKK100.

 

DENMARK

 

68

 

 

 

3,080

 

 

 

DSV A/S

 

COMMON STOCK DKK1.

 

DENMARK

 

37,890

 

 

 

986,843

 

 

 

FLSMIDTH + CO A/S

 

COMMON STOCK DKK20.

 

DENMARK

 

10,583

 

 

 

617,497

 

 

 

GENMAB A/S

 

COMMON STOCK DKK1.

 

DENMARK

 

3,081

 

 

 

42,427

 

 

 

GN STORE NORD A/S

 

COMMON STOCK DKK4.

 

DENMARK

 

44,585

 

 

 

653,207

 

 

 

IC COMPANYS A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

3,296

 

 

 

78,053

 

 

 

JYSKE BANK REG

 

COMMON STOCK DKK10.

 

DENMARK

 

11,985

 

 

 

334,023

 

 

 

NKT HOLDING A/S

 

COMMON STOCK DKK20.

 

DENMARK

 

6,401

 

 

 

231,234

 

 

 

NOVO NORDISK A/S B

 

COMMON STOCK DKK1.

 

DENMARK

 

68,991

 

 

 

11,254,060

 

 

 

NOVOZYMES A/S B SHARES

 

COMMON STOCK DKK2.

 

DENMARK

 

45,615

 

 

 

1,289,378

 

 

 

PANDORA A/S

 

COMMON STOCK DKK1.

 

DENMARK

 

9,509

 

 

 

209,277

 

 

 

ROCKWOOL INTL A/S B SHS

 

COMMON STOCK DKK10.

 

DENMARK

 

1,500

 

 

 

168,656

 

 

 

SIMCORP A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

627

 

 

 

140,187

 

 

 

SYDBANK A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

12,710

 

 

 

225,342

 

 

 

TDC A/S

 

COMMON STOCK DKK1.

 

DENMARK

 

91,900

 

 

 

650,486

 

 

 

TOPDANMARK A/S

 

COMMON STOCK DKK10.

 

DENMARK

 

3,310

 

 

 

709,286

 

 

 

TRYG A/S

 

COMMON STOCK DKK25.

 

DENMARK

 

5,395

 

 

 

407,409

 

 

 

VESTAS WIND SYSTEMS A/S

 

COMMON STOCK DKK1.

 

DENMARK

 

33,017

 

 

 

186,971

 

 

 

WILLIAM DEMANT HOLDING

 

COMMON STOCK DKK1.

 

DENMARK

 

4,517

 

 

 

387,195

 

 

 

COMMERZBANK AG

 

COMMON STOCK NPV

 

EGYPT

 

172,403

 

 

 

934,566

 

 

 

EFG HERMES HOLDING SAE

 

COMMON STOCK EGP5.

 

EGYPT

 

37,840

 

 

 

65,521

 

 

 

EGYPTIAN KUWAITI HOLDING CO

 

COMMON STOCK USD.25

 

EGYPT

 

84,295

 

 

 

108,741

 

 

 

EGYPTIAN POUND

 

FOREIGN CURRENCY

 

EGYPT

 

3,431,536

 

 

 

539,181

 

 

 

EGYPTIAN RESORTS CO

 

COMMON STOCK EGP1.

 

EGYPT

 

332,807

 

 

 

55,430

 

 

 

EZZ STEEL

 

COMMON STOCK EGP5.

 

EGYPT

 

15,684

 

 

 

24,644

 

 

 

HELIOPOLIS HOUSING

 

COMMON STOCK EGP1.

 

EGYPT

 

18,784

 

 

 

67,943

 

 

 

MEDINET NASR HOUSING

 

COMMON STOCK EGP1.

 

EGYPT

 

37,223

 

 

 

140,368

 

 

 

ORASCOM CONSTRUCTION INDS

 

COMMON STOCK EGP5.

 

EGYPT

 

14,023

 

 

 

558,554

 

 

 

ORASCOM TELECOM HOLDING

 

COMMON STOCK EGP.58

 

EGYPT

 

294,025

 

 

 

185,719

 

 

 

ORASCOM TELECOM MEDIA + TECH

 

COMMON STOCK

 

EGYPT

 

294,025

 

 

 

25,871

 

 

 

ORIENTAL WEAVERS

 

COMMON STOCK EGP5.

 

EGYPT

 

81,633

 

 

 

320,665

 

 

 

SIX OF OCTOBER DEVELOPMENT

 

COMMON STOCK EGP4.

 

EGYPT

 

42,963

 

 

 

139,062

 

 

 

TELECOM EGYPT

 

COMMON STOCK EGP10.

 

EGYPT

 

47,649

 

 

 

105,789

 

 

 

AMERICA MOVIL SAB DE C SER L

 

COMMON STOCK NPV

 

FINLAND

 

33,770

 

 

 

503,869

 

 

 

CARGOTEC OYJ B SHARE

 

COMMON STOCK NPV

 

FINLAND

 

7,250

 

 

 

191,936

 

 

 

CJ CGV CO LTD

 

COMMON STOCK KRW500.

 

FINLAND

 

45,624

 

 

 

154,893

 

 

 

CREATE SD HOLDINGS CO

 

COMMON STOCK

 

FINLAND

 

25,708

 

 

 

270,151

 

 

 

ELISA OYJ

 

COMMON STOCK NPV

 

FINLAND

 

27,935

 

 

 

623,505

 

 

43



Table of Contents

 

 

 

F SECURE OYJ

 

COMMON STOCK NPV

 

FINLAND

 

89,697

 

 

 

184,663

 

 

 

FORTUM OYJ

 

COMMON STOCK EUR3.4

 

FINLAND

 

73,548

 

 

 

1,381,484

 

 

 

HKSCAN OYJ A SHS

 

COMMON STOCK NPV

 

FINLAND

 

7,904

 

 

 

37,752

 

 

 

HUHTAMAKI OYJ

 

COMMON STOCK

 

FINLAND

 

19,400

 

 

 

314,410

 

 

 

KEMIRA OYJ

 

COMMON STOCK NPV

 

FINLAND

 

10,836

 

 

 

170,142

 

 

 

KESKO OYJ B SHS

 

COMMON STOCK NPV

 

FINLAND

 

12,500

 

 

 

409,244

 

 

 

KONE OYJ B

 

COMMON STOCK NPV

 

FINLAND

 

25,571

 

 

 

1,891,247

 

 

 

KONECRANES OYJ

 

COMMON STOCK EUR.5

 

FINLAND

 

7,883

 

 

 

266,698

 

 

 

METSA BOARD OYJ

 

COMMON STOCK EUR1.7

 

FINLAND

 

37,243

 

 

 

109,582

 

 

 

METSO OYJ

 

COMMON STOCK NPV

 

FINLAND

 

24,200

 

 

 

1,052,981

 

 

 

NESTE OIL OYJ

 

COMMON STOCK NPV

 

FINLAND

 

24,349

 

 

 

317,097

 

 

 

NOKIA OYJ

 

COMMON STOCK NPV

 

FINLAND

 

627,073

 

 

 

2,463,129

 

 

 

NOKIAN RENKAAT OYJ

 

COMMON STOCK NPV

 

FINLAND

 

19,910

 

 

 

800,211

 

 

 

ORIOLA KD OYJ B SHARES

 

COMMON STOCK NPV

 

FINLAND

 

48,139

 

 

 

141,777

 

 

 

ORION OYJ CLASS B

 

COMMON STOCK EUR.65

 

FINLAND

 

17,169

 

 

 

504,032

 

 

 

OUTOKUMPU OYJ

 

COMMON STOCK NPV

 

FINLAND

 

170,400

 

 

 

181,907

 

 

 

OUTOTEC OYJ

 

COMMON STOCK NPV

 

FINLAND

 

7,127

 

 

 

407,312

 

 

 

POHJOLA BANK PLC A SHS

 

COMMON STOCK NPV

 

FINLAND

 

30,012

 

 

 

447,644

 

 

 

POYRY OYJ

 

COMMON STOCK

 

FINLAND

 

5,225

 

 

 

20,286

 

 

 

RAMIRENT OYJ

 

COMMON STOCK NPV

 

FINLAND

 

4,952

 

 

 

41,038

 

 

 

RAUTARUUKKI OYJ

 

COMMON STOCK NPV

 

FINLAND

 

11,000

 

 

 

89,842

 

 

 

SAMPO OYJ A SHS

 

COMMON STOCK NPV

 

FINLAND

 

66,020

 

 

 

2,132,341

 

 

 

SANOMA OYJ

 

COMMON STOCK NPV

 

FINLAND

 

16,040

 

 

 

157,685

 

 

 

SPONDA OYJ

 

COMMON STOCK NPV

 

FINLAND

 

48,881

 

 

 

232,928

 

 

 

STORA ENSO OYJ R SHS

 

COMMON STOCK NPV

 

FINLAND

 

97,024

 

 

 

685,428

 

 

 

TECHNOPOLIS OYJ

 

COMMON STOCK NPV

 

FINLAND

 

41,718

 

 

 

207,808

 

 

 

TIETO OYJ

 

COMMON STOCK NPV

 

FINLAND

 

12,646

 

 

 

250,187

 

 

 

TIKKURILA OYJ

 

COMMON STOCK

 

FINLAND

 

3,978

 

 

 

77,735

 

 

 

UPM KYMMENE OYJ

 

COMMON STOCK NPV

 

FINLAND

 

86,818

 

 

 

1,030,496

 

 

 

UPONOR OYJ

 

COMMON STOCK NPV

 

FINLAND

 

4,058

 

 

 

51,369

 

 

 

WARTSILA OYJ ABP

 

COMMON STOCK NPV

 

FINLAND

 

31,900

 

 

 

1,409,261

 

 

 

YIT OYJ

 

COMMON STOCK NPV

 

FINLAND

 

24,095

 

 

 

473,487

 

 

 

ABC ARBITRAGE

 

COMMON STOCK EUR.016

 

FRANCE

 

15,745

 

 

 

120,486

 

 

 

ACCOR SA

 

COMMON STOCK EUR3.

 

FRANCE

 

36,989

 

 

 

1,325,257

 

 

 

ADP

 

COMMON STOCK EUR3.

 

FRANCE

 

5,489

 

 

 

423,310

 

 

 

AIR FRANCE KLM

 

COMMON STOCK EUR1.

 

FRANCE

 

23,735

 

 

 

225,562

 

 

 

AIR LIQUIDE SA

 

COMMON STOCK EUR5.5

 

FRANCE

 

52,117

 

 

 

6,523,450

 

 

 

ALCATEL LUCENT

 

COMMON STOCK EUR2.

 

FRANCE

 

431,139

 

 

 

575,074

 

 

 

ALTAGAS LTD

 

COMMON STOCK NPV

 

FRANCE

 

34,345

 

 

 

1,405,701

 

 

 

ALTRAN TECHNOLOGIES SA

 

COMMON STOCK EUR.5

 

FRANCE

 

2,530

 

 

 

87,181

 

 

 

ALTRI SGPS SA

 

COMMON STOCK EUR.125

 

FRANCE

 

15,701

 

 

 

119,522

 

 

 

ARKEMA

 

COMMON STOCK EUR10.

 

FRANCE

 

13,211

 

 

 

1,387,430

 

 

 

ASSYSTEM

 

COMMON STOCK EUR1.

 

FRANCE

 

4,180

 

 

 

82,351

 

 

 

ATOS

 

COMMON STOCK EUR1.

 

FRANCE

 

13,186

 

 

 

938,471

 

 

 

AXA SA

 

COMMON STOCK EUR2.29

 

FRANCE

 

302,885

 

 

 

5,472,135

 

 

 

AXWAY SOFTWARE SA

 

COMMON STOCK

 

FRANCE

 

235

 

 

 

4,210

 

 

 

BENI STABILI SPA

 

REIT EUR.1

 

FRANCE

 

22,698

 

 

 

12,906

 

 

 

BNP PARIBAS

 

COMMON STOCK EUR2.

 

FRANCE

 

163,709

 

 

 

9,216,971

 

 

 

BOIRON SA

 

COMMON STOCK EUR1.

 

FRANCE

 

2,931

 

 

 

100,991

 

 

 

BOURSORAMA

 

COMMON STOCK EUR.4

 

FRANCE

 

950

 

 

 

6,252

 

 

 

BOUYGUES SA

 

COMMON STOCK EUR1.

 

FRANCE

 

37,691

 

 

 

1,110,071

 

 

 

BULL

 

COMMON STOCK EUR.1

 

FRANCE

 

13,422

 

 

 

55,447

 

 

 

BUREAU VERITAS SA

 

COMMON STOCK EUR.12

 

FRANCE

 

8,411

 

 

 

934,060

 

 

 

CAC 40 INDEX FUTURES

 

MAR13 XMON

 

FRANCE

 

560

 

 

 

(913)

 

 

 

CAP GEMINI

 

COMMON STOCK EUR8.

 

FRANCE

 

25,767

 

 

 

1,121,603

 

 

 

CARREFOUR SA

 

COMMON STOCK EUR2.5

 

FRANCE

 

101,579

 

 

 

2,627,344

 

 

 

CASINO GUICHARD PERRACHON

 

COMMON STOCK EUR1.53

 

FRANCE

 

9,015

 

 

 

866,172

 

 

 

CHRISTIAN DIOR

 

COMMON STOCK EUR2.

 

FRANCE

 

10,227

 

 

 

1,766,023

 

 

 

CIELO SA

 

COMMON STOCK NPV

 

FRANCE

 

34,725

 

 

 

1,045,334

 

 

 

COAL INDIA LTD

 

COMMON STOCK INR10.

 

FRANCE

 

26,154

 

 

 

397,919

 

 

 

COMPAL COMMUNICATIONS INC

 

COMMON STOCK TWD10.

 

FRANCE

 

67,044

 

 

 

2,865,348

 

 

 

CREDIT SAISON CO LTD

 

COMMON STOCK

 

FRANCE

 

155,742

 

 

 

1,262,998

 

 

 

DANONE

 

COMMON STOCK EUR.25

 

FRANCE

 

97,729

 

 

 

6,449,334

 

 

 

DASSAULT SYSTEMES SA

 

COMMON STOCK EUR1.

 

FRANCE

 

12,310

 

 

 

1,376,427

 

 

 

DERICHEBOURG

 

COMMON STOCK EUR.25

 

FRANCE

 

22,975

 

 

 

98,261

 

 

 

EADS NV

 

COMMON STOCK EUR1.

 

FRANCE

 

70,806

 

 

 

2,771,862

 

 

 

EDENRED

 

COMMON STOCK EUR2.

 

FRANCE

 

35,709

 

 

 

1,109,143

 

 

 

EDF

 

COMMON STOCK EUR.5

 

FRANCE

 

37,707

 

 

 

705,885

 

 

 

EIFFAGE

 

COMMON STOCK EUR4.

 

FRANCE

 

7,066

 

 

 

320,432

 

 

 

ESSILOR INTERNATIONAL

 

COMMON STOCK EUR.18

 

FRANCE

 

35,711

 

 

 

3,616,501

 

 

 

EURAZEO

 

COMMON STOCK NPV

 

FRANCE

 

5,940

 

 

 

287,827

 

 

 

EURO DISNEY SCA REGR

 

COMMON STOCK EUR1.

 

FRANCE

 

4,513

 

 

 

30,990

 

 

 

EUROFINS SCIENTIFIC

 

COMMON STOCK EUR.1

 

FRANCE

 

1,769

 

 

 

285,997

 

 

 

EUTELSAT COMMUNICATIONS

 

COMMON STOCK EUR1.

 

FRANCE

 

23,966

 

 

 

794,826

 

 

 

FAIVELEY TRANSPORT

 

COMMON STOCK EUR1.

 

FRANCE

 

965

 

 

 

62,421

 

 

 

FIMALAC

 

COMMON STOCK EUR4.4

 

FRANCE

 

750

 

 

 

34,299

 

 

 

FONCIERE DES REGIONS

 

REIT EUR3.

 

FRANCE

 

4,301

 

 

 

360,040

 

 

 

FRANCE TELECOM SA

 

COMMON STOCK EUR4.

 

FRANCE

 

317,814

 

 

 

3,554,892

 

 

 

GAMELOFT SE

 

COMMON STOCK EUR.05

 

FRANCE

 

15,072

 

 

 

105,335

 

 

 

GDF SUEZ

 

COMMON STOCK EUR1.

 

FRANCE

 

206,463

 

 

 

4,248,949

 

 

44



Table of Contents

 

 

 

GECINA SA

 

REIT EUR7.5

 

FRANCE

 

3,723

 

 

 

415,037

 

 

 

GEMALTO

 

COMMON STOCK EUR1.

 

FRANCE

 

15,763

 

 

 

1,425,444

 

 

 

GROUPE EUROTUNNEL SA REGR

 

COMMON STOCK EUR.4

 

FRANCE

 

125,340

 

 

 

966,645

 

 

 

HAVAS SA

 

COMMON STOCK EUR.4

 

FRANCE

 

39,700

 

 

 

218,381

 

 

 

ICADE

 

REIT NPV

 

FRANCE

 

7,641

 

 

 

684,667

 

 

 

ILIAD SA

 

COMMON STOCK NPV

 

FRANCE

 

4,902

 

 

 

842,814

 

 

 

IMERYS SA

 

COMMON STOCK EUR2.

 

FRANCE

 

6,276

 

 

 

406,747

 

 

 

INGENICO

 

COMMON STOCK EUR1.

 

FRANCE

 

7,777

 

 

 

443,012

 

 

 

INTERPARFUMS SA

 

COMMON STOCK EUR3.

 

FRANCE

 

3,400

 

 

 

104,123

 

 

 

IPSEN

 

COMMON STOCK EUR1.

 

FRANCE

 

3,239

 

 

 

97,987

 

 

 

IPSOS

 

COMMON STOCK EUR.25

 

FRANCE

 

4,379

 

 

 

163,033

 

 

 

JC DECAUX SA

 

COMMON STOCK NPV

 

FRANCE

 

12,585

 

 

 

303,368

 

 

 

KLEPIERRE

 

REIT EUR1.4

 

FRANCE

 

19,477

 

 

 

784,116

 

 

 

L OREAL

 

COMMON STOCK EUR.2

 

FRANCE

 

35,401

 

 

 

4,939,363

 

 

 

LAFARGE SA

 

COMMON STOCK EUR4.

 

FRANCE

 

33,430

 

 

 

2,139,616

 

 

 

LAGARDERE S.C.A.

 

COMMON STOCK EUR6.1

 

FRANCE

 

22,537

 

 

 

764,339

 

 

 

LEGRAND SA

 

COMMON STOCK EUR4.

 

FRANCE

 

39,649

 

 

 

1,671,492

 

 

 

LVMH MOET HENNESSY LOUIS VUI

 

COMMON STOCK EUR.3

 

FRANCE

 

41,956

 

 

 

7,809,198

 

 

 

M6 METROPOLE TELEVISION

 

COMMON STOCK EUR.4

 

FRANCE

 

12,011

 

 

 

187,527

 

 

 

MAUREL + PROM NIGERIA

 

COMMON STOCK EUR.1

 

FRANCE

 

18,022

 

 

 

53,411

 

 

 

MAUREL ET PROM

 

COMMON STOCK EUR.77

 

FRANCE

 

18,022

 

 

 

308,769

 

 

 

MERSEN (EX CARBON LORRAINE)

 

COMMON STOCK EUR2.

 

FRANCE

 

4,223

 

 

 

120,143

 

 

 

MICHELIN (CGDE)

 

COMMON STOCK EUR2.

 

FRANCE

 

31,414

 

 

 

2,974,642

 

*

 

NATIXIS

 

COMMON STOCK EUR1.6

 

FRANCE

 

180,998

 

 

 

625,453

 

 

 

NEOPOST SA

 

COMMON STOCK EUR1.

 

FRANCE

 

7,071

 

 

 

373,454

 

 

 

NEXANS SA

 

COMMON STOCK EUR1.

 

FRANCE

 

3,919

 

 

 

177,992

 

 

 

NEXITY

 

COMMON STOCK EUR5.

 

FRANCE

 

4,432

 

 

 

149,240

 

 

 

PAGESJAUNES GROUPE

 

COMMON STOCK EUR.2

 

FRANCE

 

24,655

 

 

 

61,068

 

 

 

PERNOD RICARD SA

 

COMMON STOCK EUR1.55

 

FRANCE

 

34,691

 

 

 

4,074,411

 

 

 

PEUGEOT SA

 

COMMON STOCK EUR1.

 

FRANCE

 

42,679

 

 

 

316,014

 

 

 

PPR

 

COMMON STOCK EUR4.

 

FRANCE

 

12,662

 

 

 

2,357,207

 

 

 

PUBLICIS GROUPE

 

COMMON STOCK EUR.4

 

FRANCE

 

23,520

 

 

 

1,407,563

 

 

 

REMY COINTREAU

 

COMMON STOCK EUR1.6

 

FRANCE

 

4,280

 

 

 

467,345

 

 

 

RENAULT SA

 

COMMON STOCK EUR3.81

 

FRANCE

 

34,295

 

 

 

1,889,898

 

 

 

RUBIS

 

COMMON STOCK EUR2.5

 

FRANCE

 

10,783

 

 

 

737,423

 

 

 

S.A.C.I. FALABELLA

 

COMMON STOCK NPV

 

FRANCE

 

10,970

 

 

 

38,623

 

 

 

SAFRAN SA

 

COMMON STOCK EUR.2

 

FRANCE

 

42,907

 

 

 

1,870,073

 

 

 

SAFT GROUPE SA

 

COMMON STOCK EUR1.

 

FRANCE

 

5,183

 

 

 

121,131

 

 

 

SANOFI

 

COMMON STOCK EUR2.

 

FRANCE

 

200,649

 

 

 

19,006,238

 

 

 

SARTORIUS STEDIM BIOTECH

 

COMMON STOCK EUR.61

 

FRANCE

 

173

 

 

 

16,737

 

 

 

SCHNEIDER ELECTRIC SA

 

COMMON STOCK EUR4.

 

FRANCE

 

91,020

 

 

 

6,780,619

 

 

 

SCOR SE

 

COMMON STOCK EUR7.876972

 

FRANCE

 

34,455

 

 

 

927,967

 

 

 

SECHILIENNE SIDEC

 

COMMON STOCK EUR.0385

 

FRANCE

 

2,137

 

 

 

40,618

 

 

 

SES

 

RECEIPT NPV

 

FRANCE

 

50,372

 

 

 

1,455,492

 

 

 

SOCIETE BIC SA

 

COMMON STOCK EUR3.82

 

FRANCE

 

5,115

 

 

 

609,888

 

 

 

SOCIETE GENERALE

 

COMMON STOCK EUR1.25

 

FRANCE

 

124,050

 

 

 

4,660,564

 

 

 

SODEXO

 

COMMON STOCK EUR4.

 

FRANCE

 

17,830

 

 

 

1,492,320

 

 

 

SOPRA GROUP

 

COMMON STOCK EUR1.

 

FRANCE

 

188

 

 

 

12,077

 

 

 

STALLERGENES

 

COMMON STOCK EUR1.

 

FRANCE

 

1,552

 

 

 

88,278

 

 

 

STMICROELECTRONICS NV

 

COMMON STOCK EUR1.04

 

FRANCE

 

126,172

 

 

 

918,841

 

 

 

SUEZ ENVIRONNEMENT CO

 

COMMON STOCK EUR4.

 

FRANCE

 

52,235

 

 

 

629,097

 

 

 

TECHNIP SA

 

COMMON STOCK EUR.7625

 

FRANCE

 

16,320

 

 

 

1,876,702

 

 

 

TELEPERFORMANCE

 

COMMON STOCK EUR2.5

 

FRANCE

 

8,900

 

 

 

322,172

 

 

 

TELEVISION FRANCAISE (T.F.1)

 

COMMON STOCK EUR.2

 

FRANCE

 

21,481

 

 

 

254,689

 

 

 

THALES SA

 

COMMON STOCK EUR3.

 

FRANCE

 

14,658

 

 

 

505,424

 

 

 

TOTAL SA

 

COMMON STOCK EUR2.5

 

FRANCE

 

343,748

 

 

 

17,770,652

 

 

 

TRANSGENE SA

 

COMMON STOCK NPV

 

FRANCE

 

4,682

 

 

 

50,210

 

 

 

UBISOFT ENTERTAINMENT

 

CALL EXP 10OCT13

 

FRANCE

 

6,310

 

 

 

1,165

 

 

 

UBISOFT ENTERTAINMENT

 

COMMON STOCK EUR.0775

 

FRANCE

 

6,310

 

 

 

67,414

 

 

 

UNIBAIL RODAMCO SE

 

REIT EUR5.

 

FRANCE

 

15,852

 

 

 

3,876,114

 

 

 

VALEO SA

 

COMMON STOCK EUR3.

 

FRANCE

 

13,270

 

 

 

672,083

 

 

 

VALLOUREC

 

COMMON STOCK EUR2.

 

FRANCE

 

20,582

 

 

 

1,072,838

 

 

 

VEOLIA ENVIRONNEMENT

 

COMMON STOCK EUR5.

 

FRANCE

 

73,747

 

 

 

897,910

 

 

 

VINCI SA

 

COMMON STOCK EUR2.5

 

FRANCE

 

74,384

 

 

 

3,535,955

 

 

 

VIRBAC SA

 

COMMON STOCK EUR1.25

 

FRANCE

 

1,397

 

 

 

275,909

 

 

 

VIVENDI

 

COMMON STOCK EUR5.5

 

FRANCE

 

227,706

 

 

 

5,121,839

 

 

 

WENDEL

 

COMMON STOCK EUR4.

 

FRANCE

 

5,406

 

 

 

559,010

 

 

 

ZODIAC AEROSPACE

 

COMMON STOCK NPV

 

FRANCE

 

7,439

 

 

 

829,835

 

 

 

ADIDAS AG

 

COMMON STOCK NPV

 

GERMANY

 

36,204

 

 

 

3,222,645

 

 

 

AIR BERLIN PLC

 

COMMON STOCK EUR.25

 

GERMANY

 

16,666

 

 

 

33,771

 

 

 

AIXTRON SE

 

COMMON STOCK

 

GERMANY

 

16,628

 

 

 

195,040

 

*

 

ALLREAL HOLDING AG REG

 

COMMON STOCK CHF50.

 

GERMANY

 

76,585

 

 

 

10,597,368

 

 

 

AXEL SPRINGER AG

 

COMMON STOCK EUR1.

 

GERMANY

 

7,480

 

 

 

318,857

 

 

 

BASF SE

 

COMMON STOCK NPV

 

GERMANY

 

151,887

 

 

 

14,259,290

 

 

 

BAUER AG

 

COMMON STOCK NPV

 

GERMANY

 

1,488

 

 

 

37,884

 

 

 

BAYER AG REG

 

COMMON STOCK NPV

 

GERMANY

 

140,661

 

 

 

13,341,833

 

 

 

BAYERISCHE MOTOREN WERKE AG

 

COMMON STOCK EUR1.

 

GERMANY

 

55,587

 

 

 

5,354,624

 

 

 

BAYERISCHE MOTOREN WERKE PRF

 

PREFERENCE

 

GERMANY

 

9,631

 

 

 

621,643

 

 

 

BECHTLE AG

 

COMMON STOCK NPV

 

GERMANY

 

4,197

 

 

 

169,691

 

 

 

BEIERSDORF AG

 

COMMON STOCK NPV

 

GERMANY

 

16,186

 

 

 

1,321,002

 

 

45



Table of Contents

 

 

 

BILFINGER SE

 

COMMON STOCK NPV

 

GERMANY

 

8,628

 

 

 

832,579

 

 

 

BIOTEST AG VORZUGSAKTIEN

 

PREFERENCE

 

GERMANY

 

2,710

 

 

 

176,930

 

 

 

BRENNTAG AG

 

COMMON STOCK NPV

 

GERMANY

 

8,308

 

 

 

1,090,204

 

 

 

CARL ZEISS MEDITEC AG BR

 

COMMON STOCK NPV

 

GERMANY

 

4,750

 

 

 

136,310

 

 

 

CAT OIL AG

 

COMMON STOCK

 

GERMANY

 

2,043

 

 

 

18,122

 

 

 

CELESIO AG

 

COMMON STOCK NPV

 

GERMANY

 

15,505

 

 

 

266,707

 

 

 

COMFORTDELGRO CORP LTD

 

COMMON STOCK NPV

 

GERMANY

 

5,750

 

 

 

59,851

 

 

 

COMMONWEALTH BANK OF AUSTRAL

 

COMMON STOCK NPV

 

GERMANY

 

641,813

 

 

 

1,219,969

 

 

 

CONWERT IMMOBILIEN INVEST SE

 

COMMON STOCK NPV

 

GERMANY

 

14,269

 

 

 

1,649,055

 

 

 

CTS EVENTIM

 

COMMON STOCK NPV

 

GERMANY

 

4,168

 

 

 

146,500

 

 

 

DAB BANK AG

 

COMMON STOCK NPV

 

GERMANY

 

7,261

 

 

 

34,994

 

 

 

DAIMLER AG REGISTERED SHARES

 

COMMON STOCK NPV

 

GERMANY

 

150,841

 

 

 

8,232,987

 

 

 

DAX INDEX FUTURES

 

MAR13 XEUR

 

GERMANY

 

500

 

 

 

(24,885)

 

 

 

DEUTSCHE BANK AG REGISTERED

 

COMMON STOCK NPV

 

GERMANY

 

160,394

 

 

 

6,979,762

 

 

 

DEUTSCHE BETEILIGUNGS AG

 

COMMON STOCK NPV

 

GERMANY

 

4,794

 

 

 

122,960

 

 

 

DEUTSCHE BOERSE AG

 

COMMON STOCK NPV

 

GERMANY

 

33,551

 

 

 

2,045,412

 

 

 

DEUTSCHE LUFTHANSA REG

 

COMMON STOCK NPV

 

GERMANY

 

43,459

 

 

 

815,915

 

 

 

DEUTSCHE POST AG REG

 

COMMON STOCK NPV

 

GERMANY

 

160,633

 

 

 

3,518,115

 

 

 

DEUTSCHE TELEKOM AG REG

 

COMMON STOCK NPV

 

GERMANY

 

468,897

 

 

 

5,320,990

 

 

 

DEUTSCHE WOHNEN AG BR

 

COMMON STOCK NPV

 

GERMANY

 

18,055

 

 

 

333,030

 

 

 

DIC ASSET AG

 

COMMON STOCK NPV

 

GERMANY

 

5,530

 

 

 

53,227

 

 

 

DRAEGERWERK AG

 

COMMON STOCK NPV

 

GERMANY

 

1,669

 

 

 

168,472

 

 

 

DRAEGERWERK AG PREF

 

PREFERENCE

 

GERMANY

 

309

 

 

 

23,232

 

 

 

DUERR AG

 

COMMON STOCK NPV

 

GERMANY

 

6,244

 

 

 

556,836

 

 

 

E.ON SE

 

COMMON STOCK NPV

 

GERMANY

 

300,722

 

 

 

5,593,641

 

 

 

FRAPORT AG FRANKFURT AIRPORT

 

COMMON STOCK NPV

 

GERMANY

 

6,990

 

 

 

406,571

 

 

 

FREENET AG

 

COMMON STOCK NPV

 

GERMANY

 

21,250

 

 

 

392,075

 

 

 

FRESENIUS MEDICAL CARE AG +

 

COMMON STOCK NPV

 

GERMANY

 

33,851

 

 

 

2,336,093

 

 

 

FRESENIUS SE + CO KGAA

 

COMMON STOCK NPV

 

GERMANY

 

19,264

 

 

 

2,214,548

 

 

 

FUCHS PETROLUB AG PREF

 

PREFERENCE

 

GERMANY

 

6,172

 

 

 

456,812

 

 

 

GEA GROUP AG

 

COMMON STOCK NPV

 

GERMANY

 

27,003

 

 

 

871,139

 

 

 

GERRESHEIMER AG

 

COMMON STOCK NPV

 

GERMANY

 

11,758

 

 

 

621,760

 

 

 

GERRY WEBER INTL AG

 

COMMON STOCK NPV

 

GERMANY

 

9,002

 

 

 

433,937

 

 

 

GFK SE

 

COMMON STOCK NPV

 

GERMANY

 

3,724

 

 

 

190,149

 

 

 

GILDEMEISTER AG

 

COMMON STOCK NPV

 

GERMANY

 

11,492

 

 

 

231,714

 

 

 

HAMBURGER HAFEN UND LOGISTIK

 

COMMON STOCK NPV

 

GERMANY

 

5,060

 

 

 

118,986

 

 

 

HANNOVER RUECKVERSICHERU REG

 

COMMON STOCK NPV

 

GERMANY

 

11,718

 

 

 

910,995

 

 

 

HEIDELBERGCEMENT AG

 

COMMON STOCK NPV

 

GERMANY

 

22,552

 

 

 

1,364,657

 

 

 

HEIDELBERGER DRUCKMASCHINEN

 

COMMON STOCK NPV

 

GERMANY

 

34,534

 

 

 

55,966

 

 

 

HENKEL AG + CO KGAA

 

COMMON STOCK NPV

 

GERMANY

 

20,656

 

 

 

1,413,087

 

 

 

HENKEL AG + CO KGAA VORZUG

 

PREFERENCE

 

GERMANY

 

31,634

 

 

 

2,594,833

 

 

 

HOCHTIEF AG

 

COMMON STOCK NPV

 

GERMANY

 

7,656

 

 

 

444,333

 

 

 

HOMAG GROUP AG

 

COMMON STOCK

 

GERMANY

 

3,680

 

 

 

55,562

 

 

 

INDUS HOLDING AG

 

COMMON STOCK NPV

 

GERMANY

 

7,238

 

 

 

193,397

 

 

 

INFINEON TECHNOLOGIES AG

 

COMMON STOCK NPV

 

GERMANY

 

192,043

 

 

 

1,556,555

 

 

 

IVG IMMOBILIEN AG

 

COMMON STOCK NPV

 

GERMANY

 

26,371

 

 

 

66,550

 

 

 

JENOPTIK AG

 

COMMON STOCK

 

GERMANY

 

9,711

 

 

 

94,538

 

 

 

K S AG REG

 

COMMON STOCK NPV

 

GERMANY

 

29,035

 

 

 

1,340,804

 

 

 

KABEL DEUTSCHLAND HOLDING AG

 

COMMON STOCK NPV

 

GERMANY

 

14,394

 

 

 

1,075,095

 

 

 

KLOECKNER + CO SE

 

COMMON STOCK NPV

 

GERMANY

 

17,203

 

 

 

203,430

 

 

 

KONTRON AG

 

COMMON STOCK

 

GERMANY

 

11,584

 

 

 

62,847

 

 

 

KUKA AG

 

COMMON STOCK

 

GERMANY

 

6,169

 

 

 

225,313

 

 

 

KWS SAAT AG

 

COMMON STOCK EUR3.

 

GERMANY

 

503

 

 

 

161,498

 

 

 

LANXESS AG

 

COMMON STOCK

 

GERMANY

 

15,074

 

 

 

1,316,772

 

 

 

LINDE AG

 

COMMON STOCK NPV

 

GERMANY

 

31,054

 

 

 

5,409,128

 

 

 

MAN SE

 

COMMON STOCK NPV

 

GERMANY

 

8,469

 

 

 

904,517

 

 

 

MERCK KGAA

 

COMMON STOCK NPV

 

GERMANY

 

11,522

 

 

 

1,518,403

 

 

 

METRO AG

 

COMMON STOCK NPV

 

GERMANY

 

21,234

 

 

 

587,945

 

 

 

MLP AG

 

COMMON STOCK NPV

 

GERMANY

 

6,784

 

 

 

44,641

 

 

 

MORPHOSYS AG

 

COMMON STOCK NPV

 

GERMANY

 

5,294

 

 

 

204,657

 

 

 

MTU AERO ENGINES HOLDING AG

 

COMMON STOCK

 

GERMANY

 

8,664

 

 

 

786,598

 

 

 

MUENCHENER RUECKVER AG REG

 

COMMON STOCK NPV

 

GERMANY

 

31,466

 

 

 

5,642,884

 

 

 

NORDEX SE

 

COMMON STOCK NPV

 

GERMANY

 

5,095

 

 

 

20,093

 

 

 

PFEIFFER VACUUM TECHNOLOGY

 

COMMON STOCK

 

GERMANY

 

5,358

 

 

 

648,037

 

 

 

PORSCHE AUTOMOBIL HLDG PRF

 

PREFERENCE

 

GERMANY

 

27,217

 

 

 

2,215,213

 

 

 

PROSIEBEN SAT.1 MEDIA AG PRF

 

PREFERENCE

 

GERMANY

 

15,110

 

 

 

424,680

 

 

 

QIAGEN N.V.

 

COMMON STOCK EUR.01

 

GERMANY

 

35,461

 

 

 

642,387

 

 

 

QSC AG

 

COMMON STOCK NPV

 

GERMANY

 

35,725

 

 

 

99,271

 

 

 

RHEINMETALL AG

 

COMMON STOCK NPV

 

GERMANY

 

6,668

 

 

 

320,424

 

 

 

RWE AG

 

COMMON STOCK NPV

 

GERMANY

 

82,684

 

 

 

3,409,411

 

 

 

RWE AG NON VTG PREF

 

PREFERENCE

 

GERMANY

 

6,747

 

 

 

254,173

 

 

 

SALZGITTER AG

 

COMMON STOCK NPV

 

GERMANY

 

7,536

 

 

 

392,242

 

 

 

SAP AG

 

COMMON STOCK NPV

 

GERMANY

 

154,186

 

 

 

12,336,797

 

 

 

SGL CARBON SE

 

COMMON STOCK NPV

 

GERMANY

 

11,706

 

 

 

463,825

 

 

 

SIEMENS AG REG

 

COMMON STOCK NPV

 

GERMANY

 

135,227

 

 

 

14,680,505

 

 

 

SIXT AG

 

COMMON STOCK NPV

 

GERMANY

 

11,774

 

 

 

215,515

 

 

 

SIXT AG PRFD

 

PREFERENCE

 

GERMANY

 

8,854

 

 

 

182,657

 

 

 

SKY DEUTSCHLAND AG

 

COMMON STOCK NPV

 

GERMANY

 

70,995

 

 

 

386,985

 

 

 

SOFTWARE AG

 

COMMON STOCK NPV

 

GERMANY

 

9,447

 

 

 

400,814

 

 

 

SOLARWORLD AG

 

COMMON STOCK NPV

 

GERMANY

 

14,822

 

 

 

20,823

 

 

46



Table of Contents

 

 

 

STADA ARZNEIMITTEL AG

 

COMMON STOCK NPV

 

GERMANY

 

10,851

 

 

 

349,437

 

 

 

STO AG PREFERRED

 

PREFERENCE

 

GERMANY

 

1,351

 

 

 

200,000

 

 

 

STRATEC BIOMEDICAL AG

 

COMMON STOCK EUR1.

 

GERMANY

 

2,385

 

 

 

118,929

 

 

 

SUEDZUCKER AG

 

COMMON STOCK NPV

 

GERMANY

 

11,440

 

 

 

467,559

 

 

 

SYMRISE AG

 

COMMON STOCK NPV

 

GERMANY

 

29,996

 

 

 

1,072,674

 

 

 

THYSSENKRUPP AG

 

COMMON STOCK NPV

 

GERMANY

 

61,280

 

 

 

1,438,160

 

 

 

TUI AG

 

COMMON STOCK NPV

 

GERMANY

 

39,820

 

 

 

412,560

 

 

 

UNITED INTERNET AG REG SHARE

 

COMMON STOCK NPV

 

GERMANY

 

22,945

 

 

 

494,686

 

 

 

VOLKSWAGEN AG

 

COMMON STOCK NPV

 

GERMANY

 

5,181

 

 

 

1,111,740

 

 

 

VOLKSWAGEN AG PREF

 

PREFERENCE

 

GERMANY

 

23,920

 

 

 

5,435,547

 

 

 

VOSSLOH AG

 

COMMON STOCK NPV

 

GERMANY

 

1,224

 

 

 

120,219

 

 

 

WACKER CHEMIE AG

 

COMMON STOCK NPV

 

GERMANY

 

2,871

 

 

 

187,890

 

 

 

WINCOR NIXDORF AG

 

COMMON STOCK NPV

 

GERMANY

 

5,361

 

 

 

250,805

 

 

 

WIRECARD AG

 

COMMON STOCK NPV

 

GERMANY

 

15,783

 

 

 

386,605

 

 

 

ALPHA SYSTEMS INC

 

COMMON STOCK

 

GREECE

 

80,681

 

 

 

156,958

 

 

 

BANK OF CYPRUS PUBLIC CO LTD

 

COMMON STOCK EUR1.

 

GREECE

 

141,901

 

 

 

48,520

 

 

 

COCA COLA WEST CO LTD

 

COMMON STOCK

 

GREECE

 

30,512

 

 

 

720,996

 

 

 

EUROBANK ERGASIAS SA

 

COMMON STOCK EUR2.22

 

GREECE

 

61,419

 

 

 

54,001

 

 

 

EUROBANK PROPERTIES REAL EST

 

REIT EUR2.13

 

GREECE

 

15,963

 

 

 

103,050

 

 

 

HELLENIC PETROLEUM SA

 

COMMON STOCK EUR2.18

 

GREECE

 

22,771

 

 

 

225,047

 

 

 

HELLENIC TELECOMMUN ORGANIZA

 

COMMON STOCK EUR2.39

 

GREECE

 

50,271

 

 

 

341,058

 

 

 

JUMBO SA

 

COMMON STOCK EUR1.19

 

GREECE

 

16,746

 

 

 

132,297

 

 

 

MARFIN INVESTMENT GROUP HOLD

 

COMMON STOCK EUR.3

 

GREECE

 

146,750

 

 

 

84,090

 

 

 

METKA SA

 

COMMON STOCK EUR.32

 

GREECE

 

7,555

 

 

 

98,389

 

 

 

NATIONAL BANK OF GREECE

 

COMMON STOCK EUR1.

 

GREECE

 

152,450

 

 

 

264,293

 

 

 

OPAP SA

 

COMMON STOCK EUR.3

 

GREECE

 

37,643

 

 

 

269,327

 

 

 

PIRAEUS BANK S.A.

 

COMMON STOCK EUR.3

 

GREECE

 

212,007

 

 

 

96,088

 

 

 

PUBLIC POWER CORP

 

COMMON STOCK EUR4.6

 

GREECE

 

19,461

 

 

 

152,247

 

 

 

TERNA ENERGY SA

 

COMMON STOCK EUR.3

 

GREECE

 

16,918

 

 

 

75,426

 

 

 

TITAN CEMENT CO. S.A.

 

COMMON STOCK EUR4.

 

GREECE

 

10,758

 

 

 

201,714

 

 

 

AAC TECHNOLOGIES HOLDINGS IN

 

COMMON STOCK USD.01

 

HONG KONG

 

140,000

 

 

 

493,202

 

 

 

AGILE PROPERTY HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

312,000

 

 

 

446,661

 

 

 

AGRICULTURAL BANK OF CHINA H

 

COMMON STOCK CNY1.

 

HONG KONG

 

3,150,000

 

 

 

1,588,171

 

 

 

AIA GROUP LTD

 

COMMON STOCK USD1.

 

HONG KONG

 

1,791,400

 

 

 

7,139,516

 

 

 

AIR CHINA LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

408,000

 

 

 

344,788

 

 

 

AMADA CO LTD

 

COMMON STOCK

 

HONG KONG

 

702,000

 

 

 

329,259

 

 

 

ANGANG STEEL CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

247,840

 

 

 

188,209

 

 

 

ANHUI CONCH CEMENT CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

252,000

 

 

 

937,589

 

 

 

ANHUI EXPRESSWAY CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

346,000

 

 

 

197,057

 

 

 

ANTA SPORTS PRODUCTS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

131,000

 

 

 

117,111

 

 

 

ANTON OILFIELD SERVICES GP

 

COMMON STOCK HKD.1

 

HONG KONG

 

860,000

 

 

 

458,324

 

 

 

ASM PACIFIC TECHNOLOGY

 

COMMON STOCK HKD.1

 

HONG KONG

 

35,000

 

 

 

429,631

 

 

 

AVICHINA INDUSTRY + TECH H

 

COMMON STOCK CNY1.

 

HONG KONG

 

488,000

 

 

 

217,770

 

 

 

BANK OF CHINA LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

12,243,400

 

 

 

5,574,625

 

 

 

BANK OF COMMUNICATIONS CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

1,152,140

 

 

 

878,856

 

 

 

BANK OF EAST ASIA

 

COMMON STOCK HKD2.5

 

HONG KONG

 

300,375

 

 

 

1,166,625

 

 

 

BEIJING CAPITAL INTL AIRPO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

436,000

 

 

 

314,765

 

 

 

BEIJING ENTERPRISES HLDGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

88,000

 

 

 

576,385

 

 

 

BELLE INTERNATIONAL HOLDINGS

 

COMMON STOCK HKD.01

 

HONG KONG

 

831,736

 

 

 

1,836,818

 

 

 

BOC HONG KONG HOLDINGS LTD

 

COMMON STOCK HKD5.

 

HONG KONG

 

623,500

 

 

 

1,956,096

 

 

 

BRILLIANCE CHINA AUTOMOTIVE

 

COMMON STOCK USD.01

 

HONG KONG

 

578,000

 

 

 

725,614

 

 

 

BYD CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

105,700

 

 

 

323,747

 

 

 

C C LAND HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

248,883

 

 

 

88,608

 

 

 

CATHAY PACIFIC AIRWAYS

 

COMMON STOCK HKD.2

 

HONG KONG

 

187,000

 

 

 

347,654

 

 

 

CHESNARA PLC

 

COMMON STOCK GBP.05

 

HONG KONG

 

239,000

 

 

 

3,699,449

 

 

 

CHEUNG KONG HOLDINGS LTD

 

COMMON STOCK HKD.5

 

HONG KONG

 

103,000

 

 

 

632,730

 

 

 

CHILEAN PESO

 

FOREIGN CURRENCY

 

HONG KONG

 

534,300

 

 

 

300,471

 

 

 

CHINA AIRLINES LTD

 

COMMON STOCK TWD10.

 

HONG KONG

 

431,000

 

 

 

82,424

 

 

 

CHINA AOYUAN PROPERTY GROUP

 

COMMON STOCK HKD.01

 

HONG KONG

 

414,000

 

 

 

278,042

 

 

 

CHINA CHEMICAL + PHARM CO

 

COMMON STOCK TWD10.

 

HONG KONG

 

1,363,200

 

 

 

821,555

 

 

 

CHINA CITIC BANK CORP LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

655,169

 

 

 

732,526

 

 

 

CHINA COAL ENERGY CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

765,000

 

 

 

750,202

 

 

 

CHINA COMMUNICATIONS CONST H

 

COMMON STOCK CNY1.

 

HONG KONG

 

518,352

 

 

 

301,845

 

 

 

CHINA COMMUNICATIONS SERVI H

 

COMMON STOCK CNY1.

 

HONG KONG

 

11,879,400

 

 

 

9,681,762

 

 

 

CHINA CONSTRUCTION BANK H

 

COMMON STOCK CNY1.

 

HONG KONG

 

612,350

 

 

 

307,620

 

 

 

CHINA COSCO HOLDINGS H

 

COMMON STOCK CNY1.

 

HONG KONG

 

2,136,000

 

 

 

87,710

 

 

 

CHINA DEVELOPMENT FINANCIAL

 

COMMON STOCK TWD10.

 

HONG KONG

 

544,000

 

 

 

73,418

 

 

 

CHINA DONGXIANG GROUP CO

 

COMMON STOCK HKD.01

 

HONG KONG

 

622,000

 

 

 

316,526

 

 

 

CHINA EVERBRIGHT INTL LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

158,000

 

 

 

310,566

 

 

 

CHINA EVERBRIGHT LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

526,000

 

 

 

420,718

 

 

 

CHINA GAS HOLDINGS LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

256,000

 

 

 

101,872

 

 

 

CHINA HIGH SPEED TRANSMISSIO

 

COMMON STOCK USD.01

 

HONG KONG

 

370,000

 

 

 

136,810

 

 

 

CHINA HUIYUAN JUICE GROUP

 

COMMON STOCK USD.00001

 

HONG KONG

 

151,388

 

 

 

231,256

 

 

 

CHINA INTERNATIONAL MARINE H

 

COMMON STOCK CNY1.

 

HONG KONG

 

1,280,000

 

 

 

4,229,981

 

 

 

CHINA LIFE INSURANCE CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

413,000

 

 

 

290,121

 

 

 

CHINA LONGYUAN POWER GROUP H

 

COMMON STOCK CNY1.

 

HONG KONG

 

226,000

 

 

 

643,021

 

 

 

CHINA MENGNIU DAIRY CO

 

COMMON STOCK HKD.1

 

HONG KONG

 

684,939

 

 

 

1,534,226

 

 

 

CHINA MERCHANTS BANK H

 

COMMON STOCK CNY1.

 

HONG KONG

 

245,406

 

 

 

799,180

 

 

 

CHINA MERCHANTS HLDGS INTL

 

COMMON STOCK HKD.1

 

HONG KONG

 

190,245

 

 

 

199,621

 

 

 

CHINA METAL RECYCLING

 

COMMON STOCK HKD.0001

 

HONG KONG

 

4,510,000

 

 

 

65,752

 

 

47



Table of Contents

 

 

 

CHINA MINING RESOURCES GROUP

 

COMMON STOCK HKD.1

 

HONG KONG

 

937,400

 

 

 

1,107,036

 

 

 

CHINA MINSHENG BANKING H

 

COMMON STOCK CNY1.

 

HONG KONG

 

1,018,500

 

 

 

11,930,559

 

 

 

CHINA MOTOR CORP

 

COMMON STOCK TWD10.

 

HONG KONG

 

508,608

 

 

 

762,876

 

 

 

CHINA NATIONAL BUILDING MA H

 

COMMON STOCK CNY1.

 

HONG KONG

 

288,000

 

 

 

595,616

 

 

 

CHINA OILFIELD SERVICES H

 

COMMON STOCK CNY1.

 

HONG KONG

 

698,880

 

 

 

2,117,023

 

 

 

CHINA OVERSEAS LAND + INVEST

 

COMMON STOCK HKD.1

 

HONG KONG

 

270,800

 

 

 

1,015,628

 

 

 

CHINA PETROCHEMICAL DEV CORP

 

COMMON STOCK TWD10.

 

HONG KONG

 

2,805,000

 

 

 

3,220,458

 

 

 

CHINA PETROLEUM + CHEMICAL H

 

COMMON STOCK CNY1.

 

HONG KONG

 

258,000

 

 

 

75,125

 

 

 

CHINA POWER NEW ENERGY DEVEL

 

COMMON STOCK HKD.1

 

HONG KONG

 

3,420,000

 

 

 

196,695

 

 

 

CHINA PROPERTIES GROUP

 

COMMON STOCK HKD.1

 

HONG KONG

 

248,000

 

 

 

78,233

 

 

 

CHINA RAILWAY CONSTRUCTION H

 

COMMON STOCK CNY1.

 

HONG KONG

 

347,500

 

 

 

399,650

 

 

 

CHINA RAILWAY GROUP LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

635,000

 

 

 

373,705

 

 

 

CHINA RESOURCES CEMENT

 

COMMON STOCK HKD.1

 

HONG KONG

 

448,000

 

 

 

301,789

 

 

 

CHINA RESOURCES ENTERPRISE

 

COMMON STOCK HKD1.

 

HONG KONG

 

242,000

 

 

 

879,063

 

 

 

CHINA RESOURCES GAS GROUP LT

 

COMMON STOCK HKD.1

 

HONG KONG

 

156,000

 

 

 

322,656

 

 

 

CHINA RESOURCES LAND LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

450,000

 

 

 

1,240,272

 

 

 

CHINA RESOURCES POWER HOLDIN

 

COMMON STOCK HKD1.

 

HONG KONG

 

323,399

 

 

 

827,513

 

 

 

CHINA SHANSHUI CEMENT GROUP

 

COMMON STOCK USD.01

 

HONG KONG

 

405,000

 

 

 

303,203

 

 

 

CHINA SHENHUA ENERGY CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

604,000

 

 

 

2,698,606

 

 

 

CHINA SHINEWAY PHARMACEUTICA

 

COMMON STOCK HKD.1

 

HONG KONG

 

91,000

 

 

 

153,927

 

 

 

CHINA SHIPPING CONTAINER H

 

COMMON STOCK CNY1.

 

HONG KONG

 

1,134,000

 

 

 

333,598

 

 

 

CHINA SHIPPING DEVELOPMENT H

 

COMMON STOCK CNY1.

 

HONG KONG

 

383,000

 

 

 

224,965

 

 

 

CHINA SOUTHERN AIRLINES CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

468,000

 

 

 

239,896

 

 

 

CHINA STATE CONSTRUCTION INT

 

COMMON STOCK HKD.025

 

HONG KONG

 

274,320

 

 

 

333,612

 

 

 

CHINA TAIPING INSURANCE HOLD

 

COMMON STOCK HKD.05

 

HONG KONG

 

141,600

 

 

 

288,165

 

 

 

CHINA TELECOM CORP LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

2,360,000

 

 

 

1,322,203

 

 

 

CHINA TRAVEL INTL INV HK

 

COMMON STOCK HKD.1

 

HONG KONG

 

1,008,000

 

 

 

209,044

 

 

 

CHINA UNICOM HONG KONG LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

867,250

 

 

 

1,403,993

 

 

 

CHINA WATER AFFAIRS GROUP

 

COMMON STOCK HKD.01

 

HONG KONG

 

438,000

 

 

 

136,162

 

 

 

CHINA WINDPOWER GROUP LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

1,290,000

 

 

 

47,775

 

 

 

CHINA YURUN FOOD GROUP LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

234,600

 

 

 

174,800

 

 

 

CHINA ZHENGTONG AUTO SERVICE

 

COMMON STOCK HKD.1

 

HONG KONG

 

233,000

 

 

 

165,398

 

 

 

CHONGQING RURAL COMMERCIAL H

 

COMMON STOCK CNY1.

 

HONG KONG

 

570,000

 

 

 

318,019

 

 

 

CHOW SANG SANG HLDG

 

COMMON STOCK HKD.25

 

HONG KONG

 

112,000

 

 

 

264,429

 

 

 

CIPLA LTD

 

COMMON STOCK INR2.

 

HONG KONG

 

194,000

 

 

 

174,667

 

 

 

CITIC PACIFIC LTD

 

COMMON STOCK HKD.4

 

HONG KONG

 

978,000

 

 

 

57,248

 

 

 

CITIC RESOURCES HOLDINGS LTD

 

COMMON STOCK HKD.05

 

HONG KONG

 

221,000

 

 

 

334,330

 

 

 

CITIC TELECOM INTERNATIONAL

 

COMMON STOCK HKD.1

 

HONG KONG

 

763,110

 

 

 

118,748

 

 

 

CITIZEN HOLDINGS CO LTD

 

COMMON STOCK

 

HONG KONG

 

511,000

 

 

 

139,877

 

 

 

CLARIANT AG REG

 

COMMON STOCK CHF3.7

 

HONG KONG

 

2,886,000

 

 

 

262,517

 

 

 

CMC MAGNETICS CORP

 

COMMON STOCK TWD10.

 

HONG KONG

 

345,000

 

 

 

2,903,760

 

 

 

CNP ASSURANCES

 

COMMON STOCK EUR1.

 

HONG KONG

 

3,029,500

 

 

 

6,652,045

 

 

 

COMDIRECT BANK AG

 

COMMON STOCK NPV

 

HONG KONG

 

389,844

 

 

 

143,716

 

 

 

COSEL CO LTD

 

COMMON STOCK

 

HONG KONG

 

298,175

 

 

 

432,664

 

 

 

COWAY CO LTD

 

COMMON STOCK KRW500.

 

HONG KONG

 

908,560

 

 

 

486,210

 

 

 

CSR CORP LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

344,000

 

 

 

305,354

 

 

 

DACHAN FOOD ASIA LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

259,200

 

 

 

39,269

 

 

 

DAH CHONG HONG

 

COMMON STOCK HKD.15

 

HONG KONG

 

196,000

 

 

 

209,066

 

 

 

DAH SING FINANCIAL HOLDINGS

 

COMMON STOCK HKD2.

 

HONG KONG

 

28,850

 

 

 

131,642

 

 

 

DAPHNE INTERNATIONAL HOLDING

 

COMMON STOCK HKD.1

 

HONG KONG

 

226,000

 

 

 

313,066

 

 

 

DATANG INTL POWER GEN CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

660,000

 

 

 

253,298

 

 

 

DICKSON CONCEPTS INTL LTD

 

COMMON STOCK HKD.3

 

HONG KONG

 

135,000

 

 

 

71,840

 

 

 

DIGITAL CHINA HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

173,000

 

 

 

296,710

 

 

 

DONGFANG ELECTRIC CORP LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

73,600

 

 

 

151,304

 

 

 

DONGFENG MOTOR GRP CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

550,000

 

 

 

866,096

 

 

 

DYNASTY FINE WINES GROUP LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

376,000

 

 

 

68,643

 

 

 

EMPEROR INTL HLDG LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

630,000

 

 

 

175,186

 

 

 

ENN ENERGY HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

142,000

 

 

 

620,853

 

 

 

ESPRIT HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

289,072

 

 

 

404,929

 

 

 

EVERGRANDE REAL ESTATE GROUP

 

COMMON STOCK USD.01

 

HONG KONG

 

940,000

 

 

 

533,289

 

 

 

FAR EAST HORIZON LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

293,000

 

 

 

238,467

 

 

 

FIRST PACIFIC CO

 

COMMON STOCK USD.01

 

HONG KONG

 

360,000

 

 

 

398,865

 

 

 

FOSUN INTERNATIONAL

 

COMMON STOCK HKD.1

 

HONG KONG

 

349,698

 

 

 

224,707

 

 

 

FOXCONN INTERNATIONAL HLDGS

 

COMMON STOCK USD.04

 

HONG KONG

 

378,000

 

 

 

184,971

 

 

 

FRANSHION PROPERTIES

 

COMMON STOCK HKD1.

 

HONG KONG

 

704,000

 

 

 

255,525

 

 

 

G RESOURCES GROUP LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

3,774,000

 

 

 

178,672

 

 

 

GALAXY ENTERTAINMENT GROUP L

 

COMMON STOCK HKD.1

 

HONG KONG

 

284,000

 

 

 

1,130,968

 

 

 

GCL POLY ENERGY HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

1,178,000

 

 

 

243,046

 

 

 

GEELY AUTOMOBILE HOLDINGS LT

 

COMMON STOCK HKD.02

 

HONG KONG

 

725,000

 

 

 

345,814

 

 

 

GIORDANO INTERNATIONAL LTD

 

COMMON STOCK HKD.05

 

HONG KONG

 

300,000

 

 

 

290,339

 

 

 

GLOBAL BIO CHEM TECHNOLOGY

 

COMMON STOCK HKD.1

 

HONG KONG

 

480,000

 

 

 

55,460

 

 

 

GOLDEN EAGLE RETAIL GROUP

 

COMMON STOCK HKD.1

 

HONG KONG

 

123,000

 

 

 

306,950

 

 

 

GOLDEN MEDITECH HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

530,128

 

 

 

54,312

 

 

 

GOLDLION HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

424,000

 

 

 

228,900

 

 

 

GOME ELECTRICAL APPLIANCES

 

COMMON STOCK HKD.025

 

HONG KONG

 

1,793,479

 

 

 

217,196

 

 

 

GREAT WALL MOTOR COMPANY H

 

COMMON STOCK CNY1.

 

HONG KONG

 

235,000

 

 

 

745,465

 

 

 

GUANGDONG INVESTMENT LTD

 

COMMON STOCK HKD.5

 

HONG KONG

 

638,000

 

 

 

500,634

 

 

 

GUANGZHOU AUTOMOBILE GROUP H

 

COMMON STOCK CNY1.

 

HONG KONG

 

440,722

 

 

 

397,112

 

 

 

GUANGZHOU R+F PROPERTIES H

 

COMMON STOCK CNY.25

 

HONG KONG

 

246,000

 

 

 

415,465

 

 

 

HAITIAN INTERNATIONAL HLDGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

161,000

 

 

 

192,251

 

 

48



Table of Contents

 

 

 

HANG LUNG PROPERTIES LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

432,500

 

 

 

1,734,111

 

 

 

HANG SENG BANK LTD

 

COMMON STOCK HKD5.

 

HONG KONG

 

123,700

 

 

 

1,910,960

 

 

 

HANG SENG INDEX FUTURES

 

JAN13 XHKF

 

HONG KONG

 

600

 

 

 

13,061

 

 

 

HARBIN ELECTRIC CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

182,000

 

 

 

158,945

 

 

 

HENDERSON LAND DEVELOPMENT

 

COMMON STOCK HKD2.

 

HONG KONG

 

195,377

 

 

 

1,391,762

 

 

 

HENGAN INTL GROUP CO LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

128,000

 

 

 

1,154,438

 

 

 

HENGDELI HOLDINGS LTD

 

COMMON STOCK HKD.005

 

HONG KONG

 

454,000

 

 

 

165,314

 

 

 

HIDILI INDUSTRY INTL DEVELOP

 

COMMON STOCK HKD.1

 

HONG KONG

 

169,000

 

 

 

45,796

 

 

 

HKC HOLDINGS LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

4,004,274

 

 

 

150,097

 

 

 

HONG KONG + CHINA GAS

 

COMMON STOCK HKD.25

 

HONG KONG

 

896,822

 

 

 

2,459,618

 

 

 

HONG KONG DOLLAR

 

FOREIGN CURRENCY

 

HONG KONG

 

23,130,335

 

 

 

2,984,232

 

 

 

HONG KONG EXCHANGES + CLEAR

 

COMMON STOCK HKD1.

 

HONG KONG

 

182,919

 

 

 

3,151,228

 

 

 

HONGHUA GROUP

 

COMMON STOCK HKD.1

 

HONG KONG

 

621,000

 

 

 

278,388

 

 

 

HOPEWELL HOLDINGS LTD

 

COMMON STOCK HKD2.5

 

HONG KONG

 

113,000

 

 

 

488,602

 

 

 

HOPSON DEVELOPMENT HOLDINGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

260,000

 

 

 

419,063

 

 

 

HUABAO INTERNATIONAL HOLDING

 

COMMON STOCK HKD.1

 

HONG KONG

 

354,000

 

 

 

174,627

 

 

 

HUANENG POWER INTL INC H

 

COMMON STOCK CNY1.

 

HONG KONG

 

676,000

 

 

 

624,664

 

 

 

HUTCHISON HARBOUR RING LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

286,000

 

 

 

24,893

 

 

 

HUTCHISON TELECOMM HONG KONG

 

COMMON STOCK HKD.25

 

HONG KONG

 

576,000

 

 

 

266,765

 

 

 

HUTCHISON WHAMPOA LTD

 

COMMON STOCK HKD.25

 

HONG KONG

 

358,100

 

 

 

3,798,833

 

 

 

HYSAN DEVELOPMENT CO

 

COMMON STOCK HKD5.

 

HONG KONG

 

123,173

 

 

 

596,472

 

 

 

IND + COMM BK OF CHINA H

 

COMMON STOCK CNY1.

 

HONG KONG

 

10,743,160

 

 

 

7,747,625

 

 

 

INSPUR INTERNATIONAL LTD

 

COMMON STOCK HKD.002

 

HONG KONG

 

2,860,000

 

 

 

107,550

 

 

 

INTIME DEPARTMENT STORE

 

COMMON STOCK USD.00001

 

HONG KONG

 

234,000

 

 

 

277,417

 

 

 

JIANGSU EXPRESS CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

222,000

 

 

 

228,787

 

 

 

JIANGXI COPPER CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

284,000

 

 

 

761,573

 

 

 

JU TENG INTERNATIONAL HLDGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

194,000

 

 

 

93,113

 

 

 

KERRY PROPERTIES LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

117,318

 

 

 

612,003

 

 

 

KINGBOARD CHEMICAL HOLDINGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

102,000

 

 

 

367,257

 

 

 

KINGDEE INTERNATIONAL SFTWR

 

COMMON STOCK HKD.025

 

HONG KONG

 

1,082,000

 

 

 

206,879

 

 

 

KINGSOFT CORP LTD

 

COMMON STOCK USD.0005

 

HONG KONG

 

405,000

 

 

 

288,161

 

 

 

KINGWAY BREWERY HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

398,000

 

 

 

148,854

 

 

 

KOWLOON DEVELOPMENT CO LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

110,000

 

 

 

132,006

 

 

 

KUNLUN ENERGY CO LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

692,000

 

 

 

1,450,932

 

 

 

LEE + MAN PAPER MANUFACTURIN

 

COMMON STOCK HKD.025

 

HONG KONG

 

346,000

 

 

 

219,645

 

 

 

LENOVO GROUP LTD

 

COMMON STOCK HKD.025

 

HONG KONG

 

1,066,000

 

 

 

974,526

 

 

 

LI + FUNG LTD

 

COMMON STOCK HKD.0125

 

HONG KONG

 

1,062,000

 

 

 

1,913,464

 

 

 

LI NING CO LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

136,000

 

 

 

90,106

 

 

 

LINK REIT

 

REIT NPV

 

HONG KONG

 

452,462

 

 

 

2,265,882

 

 

 

LONGFOR PROPERTIES

 

COMMON STOCK HKD.1

 

HONG KONG

 

290,500

 

 

 

576,044

 

 

 

LUK FOOK HOLDINGS INTL LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

122,000

 

 

 

391,508

 

 

 

MELCO INTERNATIONAL DEVELOP.

 

COMMON STOCK HKD.5

 

HONG KONG

 

197,000

 

 

 

234,372

 

 

 

MIDLAND HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

188,000

 

 

 

91,294

 

 

 

MINTH GROUP LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

128,000

 

 

 

148,044

 

 

 

MONGOLIA ENERGY CORP LTD

 

COMMON STOCK HKD.02

 

HONG KONG

 

651,100

 

 

 

31,810

 

 

 

MTR CORP

 

COMMON STOCK HKD1.

 

HONG KONG

 

244,929

 

 

 

969,546

 

 

 

NETDRAGON WEBSOFT INC

 

COMMON STOCK USD.01

 

HONG KONG

 

243,500

 

 

 

350,103

 

 

 

NEW WORLD DEVELOPMENT

 

COMMON STOCK HKD1.

 

HONG KONG

 

725,044

 

 

 

1,139,772

 

 

 

NINE DRAGONS PAPER HOLDINGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

318,000

 

 

 

294,581

 

 

 

NWS HOLDINGS LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

296,602

 

 

 

506,248

 

 

 

ORIENT OVERSEAS INTL LTD

 

COMMON STOCK USD.1

 

HONG KONG

 

42,900

 

 

 

282,751

 

 

 

PACIFIC BASIN SHIPPING LTD

 

COMMON STOCK USD.1

 

HONG KONG

 

350,000

 

 

 

198,927

 

 

 

PARKSON RETAIL GROUP LTD

 

COMMON STOCK HKD.02

 

HONG KONG

 

226,000

 

 

 

184,559

 

 

 

PETROCHINA CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

3,256,000

 

 

 

4,659,542

 

 

 

PICC PROPERTY + CASUALTY H

 

COMMON STOCK CNY1.

 

HONG KONG

 

466,000

 

 

 

661,265

 

 

 

PICO FAR EAST HOLDINGS LTD.

 

COMMON STOCK HKD.05

 

HONG KONG

 

208,000

 

 

 

62,156

 

 

 

PING AN INSURANCE GROUP CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

284,500

 

 

 

2,420,957

 

 

 

POLY PROPERTY GROUP CO LTD

 

COMMON STOCK HKD.5

 

HONG KONG

 

379,000

 

 

 

301,650

 

 

 

POLYTEC ASSET HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

470,000

 

 

 

64,933

 

 

 

POWER ASSETS HOLDINGS LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

241,500

 

 

 

2,072,805

 

 

 

RENHE COMMERCIAL HOLDINGS

 

COMMON STOCK HKD.01

 

HONG KONG

 

1,954,000

 

 

 

209,993

 

 

 

REXLOT HOLDINGS LTD

 

COMMON STOCK HKD.01

 

HONG KONG

 

2,000,000

 

 

 

152,721

 

 

 

ROAD KING INFRASTRUCTURE LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

239,000

 

 

 

210,222

 

 

 

SA SA INTERNATIONAL HLDGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

208,000

 

 

 

172,045

 

 

 

SANDS CHINA LTD

 

COMMON STOCK USD.01

 

HONG KONG

 

408,400

 

 

 

1,832,064

 

 

 

SANY HEAVY EQUIPMENT INTL

 

COMMON STOCK HKD.1

 

HONG KONG

 

247,000

 

 

 

131,864

 

 

 

SEMICONDUCTOR MANUFACTURING

 

COMMON STOCK USD.0004

 

HONG KONG

 

3,404,000

 

 

 

171,957

 

 

 

SHANDONG WEIGAO GP MEDICAL H

 

COMMON STOCK CNY.1

 

HONG KONG

 

280,000

 

 

 

279,758

 

 

 

SHANGHAI ELECTRIC GRP CO L H

 

COMMON STOCK CNY1.

 

HONG KONG

 

600,000

 

 

 

260,850

 

 

 

SHANGHAI INDUSTRIAL HLDG LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

108,000

 

 

 

381,594

 

 

 

SHANGHAI JIN JIANG INTL HO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

440,000

 

 

 

84,291

 

 

 

SHANGHAI PHARMACEUTICALS H

 

COMMON STOCK CNY1.

 

HONG KONG

 

128,800

 

 

 

247,651

 

 

 

SHANGRI LA ASIA LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

225,595

 

 

 

454,574

 

 

 

SHENZHOU INTERNATIONAL GROUP

 

COMMON STOCK HKD.1

 

HONG KONG

 

103,000

 

 

 

233,093

 

 

 

SHIMAO PROPERTY HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

303,000

 

 

 

585,025

 

 

 

SHOUGANG CONCORD INTL ENT CO

 

COMMON STOCK HKD.2

 

HONG KONG

 

1,802,000

 

 

 

106,105

 

 

 

SHOUGANG FUSHAN RESOURCES GR

 

COMMON STOCK HKD.1

 

HONG KONG

 

570,000

 

 

 

212,171

 

 

 

SHUI ON LAND LTD

 

COMMON STOCK USD.0025

 

HONG KONG

 

718,828

 

 

 

349,431

 

 

 

SHUN TAK HOLDINGS LTD

 

COMMON STOCK HKD.25

 

HONG KONG

 

288,750

 

 

 

158,723

 

 

 

SIM TECHNOLOGY GROUP LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

548,000

 

 

 

20,989

 

 

49



Table of Contents

 

 

 

SINO BIOPHARMACEUTICAL

 

COMMON STOCK HKD.025

 

HONG KONG

 

707,999

 

 

 

339,399

 

 

 

SINO LAND CO

 

COMMON STOCK HKD1.

 

HONG KONG

 

478,812

 

 

 

862,184

 

 

 

SINO OCEAN LAND HOLDINGS

 

COMMON STOCK HKD.8

 

HONG KONG

 

793,807

 

 

 

609,121

 

 

 

SINOFERT HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

448,000

 

 

 

110,304

 

 

 

SINOLINK WORLDWIDE HOLDINGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

662,000

 

 

 

59,389

 

 

 

SINOPEC SHANGHAI PETROCHEM H

 

COMMON STOCK CNY1.

 

HONG KONG

 

645,000

 

 

 

230,117

 

 

 

SINOPHARM GROUP CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

123,200

 

 

 

391,315

 

 

 

SINOTRANS LIMITED H

 

COMMON STOCK CNY1.

 

HONG KONG

 

1,022,000

 

 

 

167,222

 

 

 

SJM HOLDINGS LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

454,000

 

 

 

1,068,378

 

 

 

SKYWORTH DIGITAL HLDGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

503,339

 

 

 

260,657

 

 

 

SMARTONE TELECOMMUNICATION

 

COMMON STOCK HKD.1

 

HONG KONG

 

120,403

 

 

 

220,616

 

 

 

SOHO CHINA LTD

 

COMMON STOCK HKD.02

 

HONG KONG

 

446,000

 

 

 

360,277

 

 

 

SOLARGIGA ENERGY HOLDINGS LT

 

COMMON STOCK HKD.1

 

HONG KONG

 

290,000

 

 

 

19,185

 

 

 

SPG LAND HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

355,150

 

 

 

92,078

 

 

 

SUN ART RETAIL GROUP LTD

 

COMMON STOCK HKD.3

 

HONG KONG

 

383,000

 

 

 

589,906

 

 

 

SUN HUNG KAI PROPERTIES

 

COMMON STOCK HKD.5

 

HONG KONG

 

280,193

 

 

 

4,243,559

 

 

 

SUNLIGHT REAL ESTATE INVEST

 

REIT

 

HONG KONG

 

574,000

 

 

 

246,643

 

 

 

SWIRE PACIFIC LTD A

 

COMMON STOCK HKD.6

 

HONG KONG

 

139,000

 

 

 

1,727,340

 

 

 

TCL MULTIMEDIA TECHNOLOGY

 

COMMON STOCK HKD1.

 

HONG KONG

 

359,400

 

 

 

201,909

 

 

 

TECHTRONIC INDUSTRIES CO

 

COMMON STOCK HKD.1

 

HONG KONG

 

206,500

 

 

 

396,347

 

 

 

TELEVISION BROADCASTS LTD

 

COMMON STOCK HKD.05

 

HONG KONG

 

51,000

 

 

 

382,817

 

 

 

TENCENT HOLDINGS LTD

 

COMMON STOCK HKD.0001

 

HONG KONG

 

173,100

 

 

 

5,619,949

 

 

 

THE UNITED LABORATORIES INTE

 

COMMON STOCK HKD.01

 

HONG KONG

 

195,000

 

 

 

93,804

 

 

 

TIANJIN PORT DVLP HLDS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

548,000

 

 

 

78,669

 

 

 

TINGYI (CAYMAN ISLN) HLDG CO

 

COMMON STOCK USD.005

 

HONG KONG

 

310,000

 

 

 

863,222

 

 

 

TRAVELSKY TECHNOLOGY LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

618,000

 

 

 

334,012

 

 

 

TSINGTAO BREWERY CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

62,000

 

 

 

369,247

 

 

 

VALUE PARTNERS GROUP LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

213,000

 

 

 

142,985

 

 

 

VTECH HOLDINGS LTD

 

COMMON STOCK USD.05

 

HONG KONG

 

27,000

 

 

 

303,367

 

 

 

WANT WANT CHINA HOLDINGS LTD

 

COMMON STOCK USD.02

 

HONG KONG

 

1,015,000

 

 

 

1,414,073

 

 

 

WEICHAI POWER CO LTD H

 

COMMON STOCK CNY1.

 

HONG KONG

 

100,800

 

 

 

458,398

 

 

 

WHARF HOLDINGS LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

254,650

 

 

 

2,016,540

 

 

 

WHEELOCK + CO LTD

 

COMMON STOCK HKD.5

 

HONG KONG

 

142,000

 

 

 

720,781

 

 

 

WING HANG BANK LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

33,480

 

 

 

352,942

 

 

 

WUMART STORES INC H

 

COMMON STOCK CNY1.

 

HONG KONG

 

147,000

 

 

 

317,516

 

 

 

WYNN MACAU LTD

 

COMMON STOCK HKD.001

 

HONG KONG

 

256,400

 

 

 

706,621

 

 

 

XINGDA INT L HOLDINGS

 

COMMON STOCK HKD.1

 

HONG KONG

 

283,000

 

 

 

147,555

 

 

 

XINHUA WINSHARE PUBLISHING H

 

COMMON STOCK CNY1.

 

HONG KONG

 

435,000

 

 

 

232,240

 

 

 

XINYI GLASS HOLDINGS LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

393,580

 

 

 

247,766

 

 

 

YANCHANG PETROLEUM INTERNATI

 

COMMON STOCK HKD.02

 

HONG KONG

 

1,680,000

 

 

 

122,767

 

 

 

YANZHOU COAL MINING CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

400,800

 

 

 

676,884

 

 

 

YINGDE GASES GROUP CO LTD

 

COMMON STOCK USD.000001

 

HONG KONG

 

233,500

 

 

 

239,646

 

 

 

YUE YUEN INDUSTRIAL HLDG

 

COMMON STOCK HKD.25

 

HONG KONG

 

200,738

 

 

 

677,672

 

 

 

YUEXIU PROPERTY CO LTD

 

COMMON STOCK HKD.1

 

HONG KONG

 

1,908,000

 

 

 

610,921

 

 

 

YUEXIU TRANSPORT INFRASTRUCT

 

COMMON STOCK HKD.1

 

HONG KONG

 

346,799

 

 

 

170,461

 

 

 

ZHAOJIN MINING INDUSTRY H

 

COMMON STOCK CNY1.

 

HONG KONG

 

206,000

 

 

 

326,357

 

 

 

ZHEJIANG EXPRESSWAY CO H

 

COMMON STOCK CNY1.

 

HONG KONG

 

332,000

 

 

 

264,661

 

 

 

ZHONGSHENG GROUP HOLDINGS

 

COMMON STOCK HKD.0001

 

HONG KONG

 

144,000

 

 

 

220,269

 

 

 

ZHUZHOU CSR TIMES ELECTRIC H

 

COMMON STOCK CNY1.

 

HONG KONG

 

114,000

 

 

 

430,472

 

 

 

ZIJIN MINING GROUP CO LTD H

 

COMMON STOCK CNY.1

 

HONG KONG

 

1,227,000

 

 

 

494,835

 

 

 

ZOOMLION HEAVY INDUSTRY H

 

COMMON STOCK CNY1.

 

HONG KONG

 

235,160

 

 

 

354,999

 

 

 

ZTE CORP H

 

COMMON STOCK CNY1.

 

HONG KONG

 

99,659

 

 

 

172,770

 

 

 

EGIS PHARMACEUTICALS PLC

 

COMMON STOCK HUF1000.

 

HUNGARY

 

2,864

 

 

 

229,121

 

 

 

HUNGARIAN FORINT

 

FOREIGN CURRENCY

 

HUNGARY

 

150,894,804

 

 

 

683,137

 

 

 

MAGYAR TELEKOM TELECOMMUNICA

 

COMMON STOCK HUF100.

 

HUNGARY

 

67,738

 

 

 

115,273

 

 

 

MOL HUNGARIAN OIL AND GAS PL

 

COMMON STOCK HUF1000.

 

HUNGARY

 

6,850

 

 

 

555,450

 

 

 

OTP BANK PLC

 

COMMON STOCK HUF100.

 

HUNGARY

 

38,984

 

 

 

740,468

 

 

 

ABG SHIPYARD LTD

 

COMMON STOCK INR10.

 

INDIA

 

17,906

 

 

 

117,340

 

 

 

ACC LTD

 

COMMON STOCK INR10.

 

INDIA

 

9,209

 

 

 

241,565

 

 

 

ADANI ENTERPRISES LTD

 

COMMON STOCK INR1.

 

INDIA

 

37,035

 

 

 

183,872

 

 

 

ADITYA BIRLA NUVO LTD

 

COMMON STOCK INR10.

 

INDIA

 

8,305

 

 

 

166,956

 

 

 

ALONY HETZ PROPERTIES + INV

 

REIT ILS1.

 

INDIA

 

181,495

 

 

 

37,090

 

 

 

AMCOR LIMITED

 

COMMON STOCK NPV

 

INDIA

 

100,699

 

 

 

371,457

 

 

 

ANA HOLDINGS INC

 

COMMON STOCK

 

INDIA

 

18,278

 

 

 

29,573

 

 

 

APOLLO HOSPITALS ENTERPRISE

 

COMMON STOCK INR5.

 

INDIA

 

25,146

 

 

 

363,660

 

 

 

APOLLO TYRES LTD

 

COMMON STOCK INR1.

 

INDIA

 

61,882

 

 

 

100,877

 

 

 

ARVIND LTD

 

COMMON STOCK INR10.

 

INDIA

 

100,898

 

 

 

184,572

 

 

 

AUROBINDO PHARMA LTD

 

COMMON STOCK INR1.

 

INDIA

 

55,355

 

 

 

191,711

 

 

 

AXIS BANK LTD

 

COMMON STOCK INR10.

 

INDIA

 

40,220

 

 

 

1,002,945

 

 

 

BAJAJ AUTO LTD

 

COMMON STOCK INR10.

 

INDIA

 

13,478

 

 

 

524,009

 

 

 

BAJAJ HINDUSTHAN LTD

 

COMMON STOCK INR1.

 

INDIA

 

298,467

 

 

 

137,388

 

 

 

BALLARPUR INDUSTRIES LTD

 

COMMON STOCK INR2.

 

INDIA

 

133,918

 

 

 

56,776

 

 

 

BALRAMPUR CHINI MILLS LTD

 

COMMON STOCK INR1.

 

INDIA

 

97,104

 

 

 

86,480

 

 

 

BF UTILITIES LTD

 

COMMON STOCK INR5.

 

INDIA

 

5,734

 

 

 

34,962

 

 

 

BHARAT HEAVY ELECTRICALS

 

COMMON STOCK INR2.

 

INDIA

 

120,610

 

 

 

510,151

 

 

 

BHARAT PETROLEUM CORP LTD

 

COMMON STOCK INR10.

 

INDIA

 

30,490

 

 

 

198,787

 

 

 

BIOCON LTD

 

COMMON STOCK INR5.

 

INDIA

 

23,685

 

 

 

124,515

 

 

 

BLUE STAR LTD

 

COMMON STOCK INR2.

 

INDIA

 

7,988

 

 

 

26,400

 

 

 

BOMBAY DYEING + MFG CO LTD

 

COMMON STOCK INR2.

 

INDIA

 

58,760

 

 

 

146,212

 

 

 

CIPLA MEDPRO SOUTH AFRICA LT

 

COMMON STOCK ZAR.001

 

INDIA

 

53,673

 

 

 

407,355

 

 

50



Table of Contents

 

 

 

COBHAM PLC

 

COMMON STOCK GBP.025

 

INDIA

 

80,984

 

 

 

524,556

 

 

 

DLF LTD

 

COMMON STOCK INR2.

 

INDIA

 

68,418

 

 

 

291,033

 

 

 

DR. REDDY S LABORATORIES

 

COMMON STOCK INR5.

 

INDIA

 

19,775

 

 

 

660,190

 

 

 

EDELWEISS FINANCIAL SERVICES

 

COMMON STOCK INR1.

 

INDIA

 

52,234

 

 

 

34,374

 

 

 

EDUCOMP SOLUTIONS LTD

 

COMMON STOCK INR2.

 

INDIA

 

5,910

 

 

 

15,218

 

 

 

EID PARRY INDIA LTD

 

COMMON STOCK INR1.

 

INDIA

 

31,020

 

 

 

117,287

 

 

 

FEDERAL BANK LTD

 

COMMON STOCK INR10.

 

INDIA

 

24,436

 

 

 

241,607

 

 

 

FINANCIAL TECHN (INDIA) LTD

 

COMMON STOCK INR2.

 

INDIA

 

5,946

 

 

 

122,445

 

 

 

FORTIS HEALTHCARE LTD

 

COMMON STOCK INR10.

 

INDIA

 

43,093

 

 

 

90,095

 

 

 

GAIL INDIA LTD

 

COMMON STOCK INR10.

 

INDIA

 

78,319

 

 

 

512,525

 

 

 

GATEWAY DISTRIPARKS LTD

 

COMMON STOCK INR10.

 

INDIA

 

33,272

 

 

 

85,856

 

 

 

GMR INFRASTRUCTURE LTD

 

COMMON STOCK INR1.

 

INDIA

 

180,080

 

 

 

64,091

 

 

 

GVK POWER + INFRASTRUCTURE

 

COMMON STOCK INR1.

 

INDIA

 

356,725

 

 

 

89,080

 

 

 

HAVELLS INDIA LTD

 

COMMON STOCK INR5.

 

INDIA

 

22,526

 

 

 

262,966

 

 

 

HCL INFOSYSTEMS LTD

 

COMMON STOCK INR2.

 

INDIA

 

29,806

 

 

 

20,818

 

 

 

HCL TECHNOLOGIES LTD

 

COMMON STOCK INR2.

 

INDIA

 

24,966

 

 

 

282,264

 

 

 

HDFC BANK LIMITED

 

COMMON STOCK INR2.

 

INDIA

 

267,655

 

 

 

3,322,350

 

 

 

HERO MOTOCORP LTD

 

COMMON STOCK INR2.

 

INDIA

 

13,452

 

 

 

469,415

 

 

 

HIMACHAL FUTURISTIC COMMUN

 

COMMON STOCK INR1.

 

INDIA

 

196,036

 

 

 

35,194

 

 

 

HINDALCO INDUSTRIES LTD

 

COMMON STOCK INR1.

 

INDIA

 

184,523

 

 

 

443,836

 

 

 

HINDUSTAN CONSTRUCTION CO

 

COMMON STOCK INR1.

 

INDIA

 

180,475

 

 

 

60,332

 

 

 

HINDUSTAN OIL EXPLORATION CO

 

COMMON STOCK INR10.

 

INDIA

 

33,250

 

 

 

61,933

 

 

 

HINDUSTAN UNILEVER LTD

 

COMMON STOCK INR1.

 

INDIA

 

176,290

 

 

 

1,692,611

 

 

 

HOTEL LEELAVENTURE LTD

 

COMMON STOCK INR2.

 

INDIA

 

57,659

 

 

 

30,995

 

 

 

HOUSING DEVELOPMENT + INFRAS

 

COMMON STOCK INR10.

 

INDIA

 

34,540

 

 

 

71,422

 

 

 

HOUSING DEVELOPMENT FINANCE

 

COMMON STOCK INR2.

 

INDIA

 

186,530

 

 

 

2,842,363

 

 

 

ICICI BANK LTD

 

COMMON STOCK INR10.

 

INDIA

 

86,279

 

 

 

1,816,964

 

 

 

IDFC LTD

 

COMMON STOCK INR10.

 

INDIA

 

153,688

 

 

 

483,602

 

 

 

IFCI LTD

 

COMMON STOCK INR10.

 

INDIA

 

79,231

 

 

 

48,132

 

 

 

INDIA INFOLINE LTD

 

COMMON STOCK INR2.

 

INDIA

 

48,052

 

 

 

75,441

 

 

 

INDIABULLS FINANCIAL SERVICE

 

COMMON STOCK INR2.

 

INDIA

 

40,091

 

 

 

202,277

 

 

 

INDIABULLS INFRASTRUCTURE AN

 

COMMON STOCK INR2.

 

INDIA

 

187,581

 

 

 

23,346

 

 

 

INDIABULLS REAL ESTATE LTD

 

COMMON STOCK INR2.

 

INDIA

 

63,587

 

 

 

87,332

 

 

 

INDIAN HOTELS CO LTD

 

COMMON STOCK INR1.

 

INDIA

 

53,598

 

 

 

61,773

 

 

 

INDIAN RUPEE

 

FOREIGN CURRENCY

 

INDIA

 

124,580,822

 

 

 

2,273,788

 

 

 

INDRAPRASTHA GAS LTD

 

COMMON STOCK INR10.

 

INDIA

 

34,530

 

 

 

157,576

 

 

 

INFOSYS LTD

 

COMMON STOCK INR5.

 

INDIA

 

79,457

 

 

 

3,386,177

 

 

 

IPCA LABORATORIES LTD

 

COMMON STOCK INR2.

 

INDIA

 

32,310

 

 

 

307,359

 

 

 

ITC LTD

 

COMMON STOCK INR1.

 

INDIA

 

475,635

 

 

 

2,488,217

 

 

 

IVRCL LTD

 

COMMON STOCK INR2.

 

INDIA

 

48,494

 

 

 

40,671

 

 

 

JAIN IRRIGATION SYSTEMS LTD

 

COMMON STOCK INR2.

 

INDIA

 

50,735

 

 

 

70,301

 

 

 

JAIPRAKASH ASSOCIATES LTD

 

COMMON STOCK INR2.

 

INDIA

 

171,343

 

 

 

308,873

 

 

 

JAMMU + KASHMIR BANK LTD

 

COMMON STOCK INR10.

 

INDIA

 

4,060

 

 

 

96,528

 

 

 

JET AIRWAYS INDIA LTD

 

COMMON STOCK INR10.

 

INDIA

 

8,188

 

 

 

84,204

 

 

 

JINDAL STEEL + POWER LTD

 

COMMON STOCK INR1.

 

INDIA

 

75,960

 

 

 

622,542

 

 

 

JSW STEEL LTD

 

COMMON STOCK INR10.

 

INDIA

 

14,276

 

 

 

212,911

 

 

 

KARNATAKA BANK LTD

 

COMMON STOCK INR10.

 

INDIA

 

33,951

 

 

 

104,703

 

 

 

KEC INTERNATIONAL LTD

 

COMMON STOCK INR2.

 

INDIA

 

19,930

 

 

 

24,408

 

 

 

KOTAK MAHINDRA BANK LTD

 

COMMON STOCK INR5.

 

INDIA

 

49,510

 

 

 

590,052

 

 

 

LARSEN + TOUBRO LTD

 

COMMON STOCK INR2.

 

INDIA

 

27,064

 

 

 

802,709

 

 

 

LIC HOUSING FINANCE LTD

 

COMMON STOCK INR2.

 

INDIA

 

65,561

 

 

 

349,824

 

 

 

MAHINDRA + MAHINDRA FIN SECS

 

COMMON STOCK INR10.

 

INDIA

 

11,481

 

 

 

229,494

 

 

 

MAHINDRA + MAHINDRA LTD

 

COMMON STOCK INR5.

 

INDIA

 

41,904

 

 

 

719,436

 

 

 

MARUTI SUZUKI INDIA LTD

 

COMMON STOCK INR5.

 

INDIA

 

11,675

 

 

 

320,155

 

 

 

NTPC LTD

 

COMMON STOCK INR10.

 

INDIA

 

112,887

 

 

 

323,829

 

 

 

OIL + NATURAL GAS CORP LTD

 

COMMON STOCK INR5.

 

INDIA

 

152,508

 

 

 

754,379

 

 

 

ORCHID CHEMICALS + PHARMA

 

COMMON STOCK INR10.

 

INDIA

 

25,782

 

 

 

47,611

 

 

 

PARSVNATH DEVELOPERS LTD

 

COMMON STOCK INR5.

 

INDIA

 

49,238

 

 

 

34,616

 

 

 

PIRAMAL ENTERPRISES LTD

 

COMMON STOCK INR2.

 

INDIA

 

17,100

 

 

 

162,574

 

 

 

PTC INDIA LTD

 

COMMON STOCK INR10.

 

INDIA

 

59,702

 

 

 

81,107

 

 

 

RADICO KHAITAN LTD

 

COMMON STOCK INR2.

 

INDIA

 

10,018

 

 

 

27,323

 

 

 

RANBAXY LABORATORIES LTD

 

COMMON STOCK INR5.

 

INDIA

 

12,939

 

 

 

119,365

 

 

 

RAYMOND LTD

 

COMMON STOCK INR10.

 

INDIA

 

14,182

 

 

 

118,988

 

 

 

REI AGRO LTD

 

COMMON STOCK INR1.

 

INDIA

 

251,279

 

 

 

49,277

 

 

 

RELIANCE CAPITAL LTD

 

COMMON STOCK INR10.

 

INDIA

 

18,853

 

 

 

166,837

 

 

 

RELIANCE COMMUNICATIONS LTD

 

COMMON STOCK INR5.

 

INDIA

 

123,493

 

 

 

167,201

 

 

 

RELIANCE INDUSTRIES LTD

 

COMMON STOCK INR10.

 

INDIA

 

226,518

 

 

 

3,499,052

 

 

 

RELIANCE INFRASTRUCTURE LTD

 

COMMON STOCK INR10.

 

INDIA

 

16,222

 

 

 

156,234

 

 

 

RELIANCE POWER LTD

 

COMMON STOCK INR10.

 

INDIA

 

85,271

 

 

 

146,009

 

 

 

ROLTA INDIA LTD

 

COMMON STOCK INR10.

 

INDIA

 

16,657

 

 

 

18,741

 

 

 

RUCHI SOYA INDUSTRIES LTD

 

COMMON STOCK INR2.

 

INDIA

 

50,228

 

 

 

58,822

 

 

 

SATYAM COMPUTER SERVICES LTD

 

COMMON STOCK INR2.

 

INDIA

 

94,071

 

 

 

186,191

 

 

 

SESA GOA LTD

 

COMMON STOCK INR1.

 

INDIA

 

60,717

 

 

 

217,418

 

 

 

SHREE RENUKA SUGARS LTD

 

COMMON STOCK INR1.

 

INDIA

 

125,166

 

 

 

73,589

 

 

 

SIEMENS LTD

 

COMMON STOCK INR2.

 

INDIA

 

13,680

 

 

 

167,221

 

 

 

SKF INDIA LTD

 

COMMON STOCK INR10.

 

INDIA

 

1,287

 

 

 

14,963

 

 

 

STATE BANK OF INDI

 

GDR

 

INDIA

 

16,534

 

 

 

730,850

 

 

 

STERLITE INDUSTRIES INDIA LT

 

COMMON STOCK INR1.

 

INDIA

 

211,828

 

 

 

451,751

 

 

 

SUN PHARMA ADVANCED RESEARCH

 

COMMON STOCK INR1.

 

INDIA

 

50,964

 

 

 

127,106

 

 

 

SUN PHARMACEUTICAL INDUS

 

COMMON STOCK INR1.

 

INDIA

 

61,385

 

 

 

826,548

 

 

51



Table of Contents

 

 

 

TATA CONSULTANCY SVCS LTD

 

COMMON STOCK INR1.

 

INDIA

 

92,504

 

 

 

2,122,561

 

 

 

TATA MOTORS LTD

 

COMMON STOCK INR2.

 

INDIA

 

307,194

 

 

 

1,761,542

 

 

 

TATA POWER CO LTD

 

COMMON STOCK INR1.

 

INDIA

 

141,700

 

 

 

287,331

 

 

 

TATA STEEL LTD

 

COMMON STOCK INR10.

 

INDIA

 

46,984

 

 

 

367,301

 

 

 

UNITECH LTD

 

COMMON STOCK INR2.

 

INDIA

 

269,127

 

 

 

166,900

 

 

 

UNITED SPIRITS LTD

 

COMMON STOCK INR10.

 

INDIA

 

12,891

 

 

 

446,852

 

 

 

VIJAYA BANK

 

COMMON STOCK INR10.

 

INDIA

 

81,920

 

 

 

94,289

 

 

 

WIPRO LTD

 

COMMON STOCK INR2.

 

INDIA

 

96,775

 

 

 

701,863

 

 

 

ZEE ENTERTAINMENT ENTERPRISE

 

COMMON STOCK INR1.

 

INDIA

 

68,116

 

 

 

275,083

 

 

 

ADARO ENERGY TBK PT

 

COMMON STOCK IDR100.

 

INDONESIA

 

4,647,500

 

 

 

769,459

 

 

 

AKR CORPORINDO TBK PT

 

COMMON STOCK IDR100.

 

INDONESIA

 

1,474,000

 

 

 

636,786

 

 

 

ANEKA TAMBANG PERSERO TBK PT

 

COMMON STOCK IDR100.

 

INDONESIA

 

1,579,750

 

 

 

210,547

 

 

 

ASTRA AGRO LESTARI TBK PT

 

COMMON STOCK IDR500.

 

INDONESIA

 

105,500

 

 

 

216,425

 

 

 

ASTRA INTERNATIONAL TBK PT

 

COMMON STOCK IDR50.

 

INDONESIA

 

3,666,880

 

 

 

2,901,182

 

 

 

BAKRIELAND DEVELOPMENT PT

 

COMMON STOCK IDR500.

 

INDONESIA

 

17,849,100

 

 

 

100,484

 

 

 

BANK CENTRAL ASIA TBK PT

 

COMMON STOCK IDR62.5

 

INDONESIA

 

2,503,000

 

 

 

2,371,484

 

 

 

BANK DANAMON INDONESIA TBK

 

COMMON STOCK NPV

 

INDONESIA

 

714,931

 

 

 

419,408

 

 

 

BANK MANDIRI PERSERO TBK PT

 

COMMON STOCK IDR500.

 

INDONESIA

 

1,970,249

 

 

 

1,666,188

 

 

 

BANK NEGARA INDONESIA PERSER

 

COMMON STOCK IDR7500.

 

INDONESIA

 

2,196,000

 

 

 

846,262

 

 

 

BANK RAKYAT INDONESIA PERSER

 

COMMON STOCK IDR250.

 

INDONESIA

 

2,120,000

 

 

 

1,543,937

 

 

 

BUMI RESOURCES TBK PT

 

COMMON STOCK IDR500.

 

INDONESIA

 

3,210,000

 

 

 

197,342

 

 

 

GUDANG GARAM TBK PT

 

COMMON STOCK IDR500.

 

INDONESIA

 

118,500

 

 

 

694,341

 

 

 

INDOCEMENT TUNGGAL PRAKARSA

 

COMMON STOCK IDR500.

 

INDONESIA

 

322,500

 

 

 

753,442

 

 

 

INDOFOOD SUKSES MAKMUR TBK P

 

COMMON STOCK IDR100.

 

INDONESIA

 

957,000

 

 

 

581,732

 

 

 

INDONESIAN RUPIAH

 

FOREIGN CURRENCY

 

INDONESIA

 

8,117,104,711

 

 

 

842,242

 

 

 

INDOSAT TBK PT

 

COMMON STOCK IDR100.

 

INDONESIA

 

548,000

 

 

 

367,183

 

 

 

MEDCO ENERGI INTERNASIONAL T

 

COMMON STOCK IDR100.

 

INDONESIA

 

741,000

 

 

 

125,584

 

 

 

PERUSAHAAN GAS NEGARA PERSER

 

COMMON STOCK IDR100.

 

INDONESIA

 

2,371,000

 

 

 

1,134,685

 

 

 

SEMEN INDONESIA PERSERO TBK

 

COMMON STOCK IDR100.

 

INDONESIA

 

592,700

 

 

 

976,383

 

 

 

TELEKOMUNIKASI INDONESIA PER

 

COMMON STOCK IDR250.

 

INDONESIA

 

1,959,000

 

 

 

1,843,228

 

 

 

UNILEVER INDONESIA TBK PT

 

COMMON STOCK IDR10.

 

INDONESIA

 

307,500

 

 

 

666,909

 

 

 

UNITED TRACTORS TBK PT

 

COMMON STOCK IDR250.

 

INDONESIA

 

364,019

 

 

 

748,203

 

 

 

EURO CURRENCY

 

FOREIGN CURRENCY

 

INTERNATIONAL

 

5,364,795

 

 

 

7,072,947

 

 

 

BANK OF IRELAND

 

COMMON STOCK EUR.05

 

IRELAND

 

4,727,898

 

 

 

706,004

 

 

 

CRODA INTERNATIONAL PLC

 

COMMON STOCK GBP.1

 

IRELAND

 

127,525

 

 

 

2,643,147

 

 

 

DCC PLC

 

COMMON STOCK EUR.25

 

IRELAND

 

13,522

 

 

 

431,011

 

 

 

ELAN CORP PLC

 

COMMON STOCK EUR.05

 

IRELAND

 

87,647

 

 

 

904,104

 

 

 

GRAFTON GROUP PLC UTS

 

UNIT EUR.05

 

IRELAND

 

29,520

 

 

 

156,774

 

 

 

KERRY GROUP PLC A

 

COMMON STOCK EUR.125

 

IRELAND

 

24,412

 

 

 

1,294,291

 

 

 

RYANAIR HOLDINGS PLC

 

COMMON STOCK EUR.00635

 

IRELAND

 

55,944

 

 

 

348,127

 

 

 

AFRICA ISRAEL INV LTD

 

COMMON STOCK ILS.1

 

ISRAEL

 

3,923

 

 

 

7,955

 

 

 

AFRICA ISRAEL PROPERTIES LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

9,637

 

 

 

89,601

 

 

 

AL ROV (ISRAEL) LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

6,495

 

 

 

161,056

 

 

 

ALPEN CO LTD

 

COMMON STOCK

 

ISRAEL

 

52,720

 

 

 

334,291

 

 

 

AMP LTD

 

COMMON STOCK NPV

 

ISRAEL

 

24,760

 

 

 

63,109

 

 

 

BANK HAPOALIM BM

 

COMMON STOCK ILS1.

 

ISRAEL

 

174,315

 

 

 

750,749

 

 

 

BANK LEUMI LE ISRAEL

 

COMMON STOCK ILS.1

 

ISRAEL

 

186,803

 

 

 

639,475

 

 

 

BEZEQ THE ISRAELI TELECOM CO

 

COMMON STOCK ILS1.

 

ISRAEL

 

261,363

 

 

 

302,163

 

 

 

ELBIT SYSTEMS LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

4,740

 

 

 

190,715

 

 

 

HADERA PAPER LTD

 

COMMON STOCK ILS.01

 

ISRAEL

 

500

 

 

 

24,597

 

 

 

ISRAEL CHEMICALS LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

79,810

 

 

 

963,217

 

 

 

ISRAEL CORP LIMITED/THE

 

COMMON STOCK ILS1.

 

ISRAEL

 

471

 

 

 

309,514

 

 

 

ISRAEL DISCOUNT BANK A

 

COMMON STOCK ILS.1

 

ISRAEL

 

116,873

 

 

 

194,756

 

 

 

ISRAELI SHEKEL

 

FOREIGN CURRENCY

 

ISRAEL

 

1,018,664

 

 

 

273,020

 

 

 

JERUSALEM ECONOMY LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

18,235

 

 

 

93,637

 

 

 

MELISRON

 

COMMON STOCK ILS1.

 

ISRAEL

 

5,487

 

 

 

99,079

 

 

 

MELLANOX TECHNOLOGIES LTD

 

COMMON STOCK ILS.0175

 

ISRAEL

 

5,816

 

 

 

350,483

 

 

 

MIZRAHI TEFAHOT BANK LTD

 

COMMON STOCK ILS.1

 

ISRAEL

 

20,230

 

 

 

209,235

 

 

 

NICE SYSTEMS LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

8,269

 

 

 

277,346

 

 

 

NITSBA HOLDINGS (1995) LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

13,865

 

 

 

119,218

 

 

 

NORSTAR HOLDINGS INC

 

COMMON STOCK USD1.

 

ISRAEL

 

10,014

 

 

 

242,425

 

 

 

PARTNER COMMUNICATIONS CO

 

COMMON STOCK ILS.01

 

ISRAEL

 

16,030

 

 

 

96,661

 

 

 

PLASSON INDUSTRIES LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

5,820

 

 

 

167,931

 

 

 

PROPERTY + BUILDING CORP LTD

 

COMMON STOCK ILS1.

 

ISRAEL

 

2,095

 

 

 

102,964

 

 

 

TEVA PHARMACEUTICAL IND LTD

 

COMMON STOCK ILS.1

 

ISRAEL

 

150,115

 

 

 

5,624,834

 

 

 

A2A SPA

 

COMMON STOCK EUR.52

 

ITALY

 

243,496

 

 

 

141,083

 

 

 

ACEA SPA

 

COMMON STOCK EUR5.16

 

ITALY

 

16,800

 

 

 

101,392

 

 

 

ALERION CLEANPOWER

 

COMMON STOCK EUR3.7

 

ITALY

 

16,472

 

 

 

78,897

 

 

 

ANSALDO STS SPA

 

COMMON STOCK EUR.5

 

ITALY

 

18,021

 

 

 

168,510

 

 

 

ASCOPIAVE SPA

 

COMMON STOCK EUR1.

 

ITALY

 

76,626

 

 

 

128,575

 

 

 

ASSICURAZIONI GENERALI

 

COMMON STOCK EUR1.

 

ITALY

 

201,671

 

 

 

3,674,302

 

 

 

ASTALDI SPA

 

COMMON STOCK EUR2.

 

ITALY

 

16,552

 

 

 

111,185

 

 

 

ATLANTIA SPA

 

COMMON STOCK EUR1.

 

ITALY

 

53,728

 

 

 

973,321

 

 

 

AUTOGRILL SPA

 

COMMON STOCK EUR.52

 

ITALY

 

19,660

 

 

 

229,431

 

 

 

AZIMUT HOLDING SPA

 

COMMON STOCK NPV

 

ITALY

 

23,700

 

 

 

341,563

 

 

 

BANCA CARIGE SPA

 

COMMON STOCK NPV

 

ITALY

 

116,350

 

 

 

118,682

 

 

 

BANCA IFIS SPA

 

COMMON STOCK EUR1.

 

ITALY

 

13,619

 

 

 

99,464

 

 

 

BANCA MONTE DEI PASCHI SIENA

 

COMMON STOCK NPV

 

ITALY

 

1,418,886

 

 

 

437,663

 

 

 

BANCA POPOL EMILIA ROMAGNA

 

COMMON STOCK EUR3.

 

ITALY

 

47,033

 

 

 

326,890

 

 

 

BANCA POPOLARE DI MILANO

 

COMMON STOCK NPV

 

ITALY

 

527,143

 

 

 

316,794

 

 

52



Table of Contents

 

 

 

BANCA POPOLARE DI SONDRIO

 

COMMON STOCK EUR3.

 

ITALY

 

57,562

 

 

 

336,007

 

 

 

BANCO POPOLARE SCARL

 

COMMON STOCK NPV

 

ITALY

 

287,896

 

 

 

481,328

 

 

 

CAM FINANZIARIA SPA

 

COMMON STOCK NPV

 

ITALY

 

5,562

 

 

 

4,005

 

 

 

DANIELI + CO

 

COMMON STOCK EUR1.

 

ITALY

 

3,606

 

 

 

103,628

 

 

 

DAVIDE CAMPARI MILANO SPA

 

COMMON STOCK EUR.1

 

ITALY

 

46,300

 

 

 

355,210

 

 

 

DE LONGHI SPA

 

COMMON STOCK EUR1.5

 

ITALY

 

18,729

 

 

 

268,996

 

 

 

DEA CAPITAL SPA

 

COMMON STOCK EUR1.

 

ITALY

 

26,243

 

 

 

46,471

 

 

 

DIASORIN SPA

 

COMMON STOCK EUR1.

 

ITALY

 

4,272

 

 

 

171,156

 

 

 

EI TOWERS SPA

 

COMMON STOCK EUR.1

 

ITALY

 

2,235

 

 

 

61,195

 

 

 

ENEL GREEN POWER SPA

 

COMMON STOCK EUR.2

 

ITALY

 

269,475

 

 

 

503,391

 

 

 

ENEL SPA

 

COMMON STOCK EUR1.

 

ITALY

 

1,130,712

 

 

 

4,698,669

 

 

 

ENGINEERING SPA

 

COMMON STOCK EUR2.55

 

ITALY

 

1,148

 

 

 

38,273

 

 

 

ENI SPA

 

COMMON STOCK NPV

 

ITALY

 

403,390

 

 

 

9,939,756

 

 

 

ERG SPA

 

COMMON STOCK EUR.1

 

ITALY

 

6,195

 

 

 

62,864

 

 

 

EXOR SPA

 

COMMON STOCK EUR1.

 

ITALY

 

14,254

 

 

 

358,726

 

 

 

FIAT INDUSTRIAL

 

COMMON STOCK EUR1.57

 

ITALY

 

168,986

 

 

 

1,850,667

 

 

 

FIAT SPA

 

COMMON STOCK EUR3.58

 

ITALY

 

132,974

 

 

 

670,882

 

 

 

FINMECCANICA SPA

 

COMMON STOCK EUR4.4

 

ITALY

 

60,673

 

 

 

351,215

 

 

 

FONDIARIA SAI SPA

 

COMMON STOCK NPV

 

ITALY

 

130

 

 

 

165

 

 

 

FTSE MIB INDEX FUTURES

 

MAR13 XDMI

 

ITALY

 

50

 

 

 

18,721

 

 

 

IMMOBILIARE GRANDE DISTRIBUZ

 

REIT NPV

 

ITALY

 

98,746

 

 

 

106,930

 

 

 

IMMSI SPA

 

COMMON STOCK EUR.52

 

ITALY

 

107,773

 

 

 

63,790

 

 

 

IMPREGILO SPA

 

COMMON STOCK NPV

 

ITALY

 

46,900

 

 

 

219,755

 

 

 

INDUSTRIA MACCHINE AUTOMATIC

 

COMMON STOCK EUR.52

 

ITALY

 

10,102

 

 

 

191,749

 

 

 

INTEK GROUP SPA

 

COMMON STOCK NPV

 

ITALY

 

93,905

 

 

 

41,220

 

 

 

INTERPUMP GROUP SPA

 

COMMON STOCK EUR.52

 

ITALY

 

23,473

 

 

 

182,178

 

 

 

INTESA SANPAOLO

 

COMMON STOCK EUR.52

 

ITALY

 

1,656,111

 

 

 

2,861,711

 

 

 

INTESA SANPAOLO RSP

 

COMMON STOCK EUR.52

 

ITALY

 

151,261

 

 

 

214,321

 

 

 

ITALCEMENTI SPA

 

COMMON STOCK EUR1.

 

ITALY

 

14,157

 

 

 

79,615

 

 

 

JUVENTUS FOOTBALL CLUB SPA

 

COMMON STOCK NPV

 

ITALY

 

73,978

 

 

 

20,958

 

 

 

LANDI RENZO SPA

 

COMMON STOCK EUR.1

 

ITALY

 

41,464

 

 

 

80,973

 

 

 

LUXOTTICA GROUP SPA

 

COMMON STOCK EUR.06

 

ITALY

 

23,279

 

 

 

966,132

 

 

 

MARIELLA BURANI SPA

 

COMMON STOCK EUR.52

 

ITALY

 

4,399

 

 

 

0

 

 

 

MARR SPA

 

COMMON STOCK EUR.5

 

ITALY

 

15,390

 

 

 

160,464

 

 

 

MEDIASET SPA

 

COMMON STOCK EUR.52

 

ITALY

 

149,438

 

 

 

310,755

 

 

 

MEDIOBANCA SPA

 

COMMON STOCK EUR.5

 

ITALY

 

82,270

 

 

 

509,007

 

 

 

MEDIOLANUM SPA

 

COMMON STOCK EUR.1

 

ITALY

 

49,247

 

 

 

250,419

 

 

 

PIAGGIO + C. S.P.A.

 

COMMON STOCK NPV

 

ITALY

 

36,390

 

 

 

98,006

 

 

 

PICCOLO CREDITO VALTELLINESE

 

COMMON STOCK NPV

 

ITALY

 

45,313

 

 

 

69,839

 

 

 

PIRELLI + C.

 

COMMON STOCK

 

ITALY

 

51,998

 

 

 

595,871

 

 

 

PRYSMIAN SPA

 

COMMON STOCK EUR.1

 

ITALY

 

34,993

 

 

 

707,150

 

 

 

SAIPEM SPA

 

COMMON STOCK EUR1.

 

ITALY

 

43,363

 

 

 

1,680,395

 

 

 

SNAM SPA

 

COMMON STOCK NPV

 

ITALY

 

255,131

 

 

 

1,184,981

 

 

 

SORIN SPA

 

COMMON STOCK EUR1.

 

ITALY

 

62,397

 

 

 

138,782

 

 

 

TELECOM ITALIA MEDIA SPA

 

COMMON STOCK NPV

 

ITALY

 

108,577

 

 

 

21,919

 

 

 

TELECOM ITALIA RSP

 

MISC. EUR.55

 

ITALY

 

1,016,223

 

 

 

803,195

 

 

 

TELECOM ITALIA SPA

 

COMMON STOCK EUR.55

 

ITALY

 

1,556,743

 

 

 

1,405,519

 

 

 

TENARIS SA

 

COMMON STOCK USD1.

 

ITALY

 

74,046

 

 

 

1,541,751

 

 

 

TERNA SPA

 

COMMON STOCK EUR.22

 

ITALY

 

233,749

 

 

 

935,017

 

 

 

TOD S SPA

 

COMMON STOCK EUR2.

 

ITALY

 

2,433

 

 

 

309,841

 

 

 

TREVI FINANZIARIA INDUSTRIAL

 

COMMON STOCK EUR.5

 

ITALY

 

5,758

 

 

 

31,044

 

 

 

UBI BANCA SCPA

 

COMMON STOCK EUR2.5

 

ITALY

 

121,968

 

 

 

568,233

 

 

 

UNICREDIT SPA

 

COMMON STOCK NPV

 

ITALY

 

664,605

 

 

 

3,278,025

 

 

 

UNIPOL GRUPPO FINANZIARIO SP

 

COMMON STOCK NPV

 

ITALY

 

1,743

 

 

 

3,511

 

 

 

VITTORIA ASSICURAZIONI SPA

 

COMMON STOCK EUR1.

 

ITALY

 

36,814

 

 

 

236,997

 

 

 

77 BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

67,000

 

 

 

268,958

 

 

 

ACCESS CO LTD

 

COMMON STOCK

 

JAPAN

 

19

 

 

 

12,588

 

 

 

ADERANS CO LTD

 

COMMON STOCK

 

JAPAN

 

7,000

 

 

 

92,669

 

 

 

ADVANCE RESIDENCE INVESTMENT

 

REIT

 

JAPAN

 

205

 

 

 

420,186

 

 

 

ADVANTEST CORP

 

COMMON STOCK

 

JAPAN

 

26,600

 

 

 

420,628

 

 

 

AEON CO LTD

 

COMMON STOCK

 

JAPAN

 

107,500

 

 

 

1,231,201

 

 

 

AEON DELIGHT CO LTD

 

COMMON STOCK

 

JAPAN

 

28,400

 

 

 

574,528

 

 

 

AEON FINANCIAL SERVICE CO LT

 

COMMON STOCK

 

JAPAN

 

2,200

 

 

 

43,099

 

 

 

AEON MALL CO LTD

 

COMMON STOCK

 

JAPAN

 

12,300

 

 

 

301,238

 

 

 

AICA KOGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

7,300

 

 

 

118,107

 

 

 

AIDA ENGINEERING LTD

 

COMMON STOCK

 

JAPAN

 

4,200

 

 

 

33,338

 

 

 

AIFUL CORP

 

COMMON STOCK

 

JAPAN

 

22,200

 

 

 

152,099

 

 

 

AIR WATER INC

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

293,328

 

 

 

AIRPORT FACILITIES CO LTD

 

COMMON STOCK

 

JAPAN

 

9,600

 

 

 

44,795

 

 

 

AISIN SEIKI CO LTD

 

COMMON STOCK

 

JAPAN

 

35,300

 

 

 

1,103,077

 

 

 

AJINOMOTO CO INC

 

COMMON STOCK

 

JAPAN

 

123,000

 

 

 

1,630,626

 

 

 

ALFRESA HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

5,900

 

 

 

231,018

 

 

 

ALLIANCE FINANCIAL GROUP BHD

 

COMMON STOCK MYR1.

 

JAPAN

 

111,000

 

 

 

233,172

 

 

 

ALPHA BANK A.E.

 

COMMON STOCK EUR.3

 

JAPAN

 

1,700

 

 

 

29,831

 

 

 

ALPS ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

4,400

 

 

 

55,621

 

 

 

ALS LTD

 

COMMON STOCK NPV

 

JAPAN

 

32,300

 

 

 

195,618

 

 

 

AMADEUS IT HOLDING SA A SHS

 

COMMON STOCK EUR.01

 

JAPAN

 

70,000

 

 

 

456,373

 

 

 

ANRITSU CORP

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

273,841

 

 

 

AOKI HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

4,500

 

 

 

102,847

 

 

 

AOZORA BANK LTD

 

COMMON STOCK

 

JAPAN

 

129,000

 

 

 

397,148

 

 

53



Table of Contents

 

 

 

ARC LAND SAKAMOTO CO LTD

 

COMMON STOCK

 

JAPAN

 

4,900

 

 

 

76,005

 

 

 

ARCS CO LTD

 

COMMON STOCK

 

JAPAN

 

7,200

 

 

 

147,760

 

 

 

ARIAKE JAPAN CO LTD

 

COMMON STOCK

 

JAPAN

 

2,000

 

 

 

36,643

 

 

 

ASAHI DIAMOND INDUSTRIAL CO

 

COMMON STOCK

 

JAPAN

 

21,000

 

 

 

206,628

 

 

 

ASAHI GLASS CO LTD

 

COMMON STOCK

 

JAPAN

 

181,000

 

 

 

1,317,614

 

 

 

ASAHI GROUP HOLDINGS LTD

 

COMMON STOCK

 

JAPAN

 

70,400

 

 

 

1,495,214

 

 

 

ASAHI HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

4,800

 

 

 

81,367

 

 

 

ASAHI KASEI CORP

 

COMMON STOCK

 

JAPAN

 

224,000

 

 

 

1,325,396

 

 

 

ASICS CORP

 

COMMON STOCK

 

JAPAN

 

31,000

 

 

 

473,209

 

 

 

ASTELLAS PHARMA INC

 

COMMON STOCK

 

JAPAN

 

73,700

 

 

 

3,317,208

 

 

 

ATSUGI CO LTD

 

COMMON STOCK

 

JAPAN

 

95,000

 

 

 

115,083

 

 

 

AUTOBACS SEVEN CO LTD

 

COMMON STOCK

 

JAPAN

 

2,900

 

 

 

121,908

 

 

 

AVEX GROUP HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

8,300

 

 

 

167,061

 

 

 

AWA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

143,092

 

 

 

AXELL CORP

 

COMMON STOCK

 

JAPAN

 

3,200

 

 

 

70,606

 

 

 

AZBIL CORP

 

COMMON STOCK

 

JAPAN

 

8,100

 

 

 

163,615

 

 

 

BANK OF KYOTO LTD/THE

 

COMMON STOCK

 

JAPAN

 

55,000

 

 

 

463,655

 

 

 

BANK OF NAGOYA LTD/THE

 

COMMON STOCK

 

JAPAN

 

18,000

 

 

 

65,321

 

 

 

BANK OF SAGA LTD/THE

 

COMMON STOCK

 

JAPAN

 

15,000

 

 

 

34,646

 

 

 

BANK OF THE RYUKYUS LTD

 

COMMON STOCK

 

JAPAN

 

6,300

 

 

 

72,902

 

 

 

BANK OF YOKOHAMA LTD/THE

 

COMMON STOCK

 

JAPAN

 

217,000

 

 

 

1,009,257

 

 

 

BENESSE HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

13,200

 

 

 

548,193

 

 

 

BML INC

 

COMMON STOCK

 

JAPAN

 

9,500

 

 

 

232,332

 

 

 

BRIDGESTONE CORP

 

COMMON STOCK

 

JAPAN

 

110,800

 

 

 

2,877,705

 

 

 

BROTHER INDUSTRIES LTD

 

COMMON STOCK

 

JAPAN

 

44,200

 

 

 

477,826

 

 

 

BUNKA SHUTTER CO LTD

 

COMMON STOCK

 

JAPAN

 

14,000

 

 

 

65,081

 

 

 

CALSONIC KANSEI CORP

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

103,392

 

 

 

CANON INC

 

COMMON STOCK

 

JAPAN

 

193,000

 

 

 

7,584,762

 

 

 

CANON MARKETING JAPAN INC

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

185,774

 

 

 

CAPCOM CO LTD

 

COMMON STOCK

 

JAPAN

 

6,800

 

 

 

104,058

 

 

 

CASIO COMPUTER CO LTD

 

COMMON STOCK

 

JAPAN

 

44,500

 

 

 

390,997

 

 

 

CAWACHI LTD

 

COMMON STOCK

 

JAPAN

 

6,800

 

 

 

134,524

 

 

 

CENTRAL JAPAN RAILWAY CO

 

COMMON STOCK

 

JAPAN

 

24,500

 

 

 

1,991,733

 

 

 

CENTURY TOKYO LEASING CORP

 

COMMON STOCK

 

JAPAN

 

7,600

 

 

 

157,170

 

 

 

CHEUNG KONG INFRASTRUCTURE

 

COMMON STOCK HKD1.

 

JAPAN

 

141,000

 

 

 

826,564

 

 

 

CHIBA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

1,000

 

 

 

6,546

 

 

 

CHIYODA CO LTD

 

COMMON STOCK

 

JAPAN

 

5,300

 

 

 

132,850

 

 

 

CHIYODA CORP

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

329,982

 

 

 

CHIYODA INTEGRE CO LTD

 

COMMON STOCK

 

JAPAN

 

5,300

 

 

 

53,151

 

 

 

CHOFU SEISAKUSHO CO LTD

 

COMMON STOCK

 

JAPAN

 

1,500

 

 

 

33,278

 

 

 

CHUBU ELECTRIC POWER CO INC

 

COMMON STOCK

 

JAPAN

 

113,500

 

 

 

1,517,441

 

 

 

CHUGAI PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

35,800

 

 

 

687,458

 

 

 

CHUGAI RO CO LTD

 

COMMON STOCK

 

JAPAN

 

28,000

 

 

 

72,544

 

 

 

CHUGOKU BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

30,000

 

 

 

419,611

 

 

 

CHUGOKU ELECTRIC POWER CO

 

COMMON STOCK

 

JAPAN

 

51,700

 

 

 

812,347

 

 

 

CITY DEVELOPMENTS LTD

 

COMMON STOCK NPV

 

JAPAN

 

56,900

 

 

 

301,374

 

 

 

CLARKSON PLC

 

COMMON STOCK GBP.25

 

JAPAN

 

113,000

 

 

 

197,025

 

 

 

CLICKS GROUP LTD

 

COMMON STOCK ZAR.01

 

JAPAN

 

7,500

 

 

 

53,493

 

 

 

CMK CORP

 

COMMON STOCK

 

JAPAN

 

5,000

 

 

 

70,511

 

 

 

CNOOC LTD

 

COMMON STOCK HKD.02

 

JAPAN

 

8,400

 

 

 

32,764

 

 

 

COCA COLA FEMSA SAB SER L

 

COMMON STOCK NPV

 

JAPAN

 

14,000

 

 

 

172,971

 

 

 

COCHLEAR LTD

 

COMMON STOCK NPV

 

JAPAN

 

9,500

 

 

 

146,554

 

 

 

CODERE SA

 

COMMON STOCK EUR.2

 

JAPAN

 

3,100

 

 

 

96,926

 

 

 

COLRUYT SA

 

COMMON STOCK NPV

 

JAPAN

 

2,000

 

 

 

18,083

 

 

 

CONCORD SECURITIES CORP

 

COMMON STOCK TWD10.

 

JAPAN

 

15,000

 

 

 

193,366

 

 

 

COSMO OIL COMPANY LTD

 

COMMON STOCK

 

JAPAN

 

2,700

 

 

 

33,204

 

 

 

COSTAIN GROUP PLC

 

COMMON STOCK GBP.5

 

JAPAN

 

164,000

 

 

 

364,689

 

 

 

CREDICORP LTD

 

COMMON STOCK USD5.

 

JAPAN

 

5,300

 

 

 

150,058

 

 

 

CREDIT SUISSE GROUP AG REG

 

COMMON STOCK CHF.04

 

JAPAN

 

33,100

 

 

 

829,349

 

 

 

CYBERAGENT INC

 

COMMON STOCK

 

JAPAN

 

98

 

 

 

201,186

 

 

 

DAI ICHI LIFE INSURANCE

 

COMMON STOCK

 

JAPAN

 

1,563

 

 

 

2,203,535

 

 

 

DAI NIPPON PRINTING CO LTD

 

COMMON STOCK

 

JAPAN

 

101,000

 

 

 

793,064

 

 

 

DAICEL CORP

 

COMMON STOCK

 

JAPAN

 

55,000

 

 

 

364,633

 

 

 

DAIDO STEEL CO LTD

 

COMMON STOCK

 

JAPAN

 

52,000

 

 

 

261,527

 

 

 

DAIDOH LTD

 

COMMON STOCK

 

JAPAN

 

9,400

 

 

 

63,226

 

 

 

DAIEI INC

 

COMMON STOCK

 

JAPAN

 

8,900

 

 

 

20,536

 

 

 

DAIHATSU MOTOR CO LTD

 

COMMON STOCK

 

JAPAN

 

37,000

 

 

 

733,285

 

 

 

DAIICHI SANKYO CO LTD

 

COMMON STOCK

 

JAPAN

 

109,600

 

 

 

1,684,515

 

 

 

DAIICHIKOSHO CO LTD

 

COMMON STOCK

 

JAPAN

 

7,200

 

 

 

166,421

 

 

 

DAIKEN CORP

 

COMMON STOCK

 

JAPAN

 

36,000

 

 

 

97,876

 

 

 

DAIKIN INDUSTRIES LTD

 

COMMON STOCK

 

JAPAN

 

42,500

 

 

 

1,463,191

 

 

 

DAIKYO INC

 

COMMON STOCK

 

JAPAN

 

145,000

 

 

 

396,297

 

 

 

DAINIPPON SCREEN MFG CO LTD

 

COMMON STOCK

 

JAPAN

 

30,000

 

 

 

184,089

 

 

 

DAINIPPON SUMITOMO PHARMA CO

 

COMMON STOCK

 

JAPAN

 

31,000

 

 

 

373,161

 

 

 

DAIO PAPER CORP

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

81,129

 

 

 

DAISHI BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

51,000

 

 

 

161,148

 

 

 

DAITO TRUST CONSTRUCT CO LTD

 

COMMON STOCK

 

JAPAN

 

14,700

 

 

 

1,386,022

 

 

 

DAIWA HOUSE INDUSTRY CO LTD

 

COMMON STOCK

 

JAPAN

 

93,000

 

 

 

1,603,373

 

 

 

DAIWA SECURITIES GROUP INC

 

COMMON STOCK

 

JAPAN

 

263,000

 

 

 

1,467,707

 

 

 

DAIWABO HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

40,000

 

 

 

82,128

 

 

54



Table of Contents

 

 

 

DENA CO LTD

 

COMMON STOCK

 

JAPAN

 

15,900

 

 

 

523,834

 

 

 

DENKI KAGAKU KOGYO K K

 

COMMON STOCK

 

JAPAN

 

92,000

 

 

 

315,496

 

 

 

DENKI KOGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

93,598

 

 

 

DENSO CORP

 

COMMON STOCK

 

JAPAN

 

81,900

 

 

 

2,855,307

 

 

 

DENTSU INC

 

COMMON STOCK

 

JAPAN

 

32,400

 

 

 

872,031

 

 

 

DESCENTE LTD

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

141,423

 

 

 

DIC CORP

 

COMMON STOCK

 

JAPAN

 

103,000

 

 

 

191,330

 

 

 

DISCO CORP

 

COMMON STOCK

 

JAPAN

 

3,600

 

 

 

186,746

 

 

 

DON QUIJOTE CO LTD

 

COMMON STOCK

 

JAPAN

 

7,000

 

 

 

256,946

 

 

 

DOSHISHA CO LTD

 

COMMON STOCK

 

JAPAN

 

1,200

 

 

 

31,472

 

 

 

DOWA HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

54,150

 

 

 

351,491

 

 

 

DR CI LABO CO LTD

 

COMMON STOCK

 

JAPAN

 

48

 

 

 

150,076

 

 

 

DTS CORP

 

COMMON STOCK

 

JAPAN

 

3,100

 

 

 

37,896

 

 

 

DUNLOP SPORTS CO LTD

 

COMMON STOCK

 

JAPAN

 

19,200

 

 

 

225,516

 

 

 

DWANGO CO LTD

 

COMMON STOCK

 

JAPAN

 

27

 

 

 

52,335

 

 

 

EAST JAPAN RAILWAY CO

 

COMMON STOCK

 

JAPAN

 

56,900

 

 

 

3,686,177

 

 

 

EBARA CORP

 

COMMON STOCK

 

JAPAN

 

65,000

 

 

 

273,765

 

 

 

EDION CORP

 

COMMON STOCK

 

JAPAN

 

8,400

 

 

 

37,259

 

 

 

EIGHTEENTH BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

34,337

 

 

 

EISAI CO LTD

 

COMMON STOCK

 

JAPAN

 

41,000

 

 

 

1,715,291

 

 

 

EIZO CORP

 

COMMON STOCK

 

JAPAN

 

1,600

 

 

 

25,554

 

 

 

ELECTRIC POWER DEVELOPMENT C

 

COMMON STOCK

 

JAPAN

 

23,900

 

 

 

567,673

 

 

 

ENPLAS CORP

 

COMMON STOCK

 

JAPAN

 

4,900

 

 

 

219,515

 

 

 

EPS CORPORATION

 

COMMON STOCK

 

JAPAN

 

28

 

 

 

71,882

 

 

 

EZAKI GLICO CO LTD

 

COMMON STOCK

 

JAPAN

 

7,000

 

 

 

72,346

 

 

 

FAMILYMART CO LTD

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

453,696

 

 

 

FANUC CORP

 

COMMON STOCK

 

JAPAN

 

32,200

 

 

 

5,999,808

 

 

 

FAST RETAILING CO LTD

 

COMMON STOCK

 

JAPAN

 

9,600

 

 

 

2,442,939

 

 

 

FIELDS CORP

 

COMMON STOCK

 

JAPAN

 

5,500

 

 

 

74,783

 

 

 

FOSTER ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

3,900

 

 

 

62,504

 

 

 

FRANCE BED HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

43,000

 

 

 

83,472

 

 

 

FRONTIER REAL ESTATE INVEST

 

REIT

 

JAPAN

 

36

 

 

 

314,418

 

 

 

FUJI CO LTD

 

COMMON STOCK

 

JAPAN

 

27,800

 

 

 

585,480

 

 

 

FUJI ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

100,000

 

 

 

247,180

 

 

 

FUJI HEAVY INDUSTRIES LTD

 

COMMON STOCK

 

JAPAN

 

110,000

 

 

 

1,387,763

 

 

 

FUJI OIL CO LTD

 

COMMON STOCK

 

JAPAN

 

7,000

 

 

 

101,411

 

 

 

FUJI SOFT INC

 

COMMON STOCK

 

JAPAN

 

2,900

 

 

 

54,909

 

 

 

FUJICCO CO LTD

 

COMMON STOCK

 

JAPAN

 

15,000

 

 

 

178,204

 

 

 

FUJIFILM HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

79,500

 

 

 

1,604,405

 

 

 

FUJIKURA LTD

 

COMMON STOCK

 

JAPAN

 

56,000

 

 

 

173,831

 

 

 

FUJITEC CO LTD

 

COMMON STOCK

 

JAPAN

 

47,000

 

 

 

341,003

 

 

 

FUJITSU GENERAL LTD

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

104,199

 

 

 

FUJITSU LTD

 

COMMON STOCK

 

JAPAN

 

329,000

 

 

 

1,384,079

 

 

 

FUJIYA CO LTD

 

COMMON STOCK

 

JAPAN

 

75,000

 

 

 

168,528

 

 

 

FUKUOKA FINANCIAL GROUP INC

 

COMMON STOCK

 

JAPAN

 

143,000

 

 

 

573,478

 

 

 

FUKUYAMA TRANSPORTING CO LTD

 

COMMON STOCK

 

JAPAN

 

16,000

 

 

 

81,442

 

 

 

FURUKAWA ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

119,000

 

 

 

267,904

 

 

 

FURUYA METAL CO LTD

 

COMMON STOCK

 

JAPAN

 

1,400

 

 

 

37,101

 

 

 

FUTABA INDUSTRIAL CO LTD

 

COMMON STOCK

 

JAPAN

 

19,400

 

 

 

84,124

 

 

 

FUTURE ARCHITECT INC

 

COMMON STOCK

 

JAPAN

 

111

 

 

 

44,284

 

 

 

GAKKEN HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

43,000

 

 

 

110,467

 

 

 

GEO HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

16

 

 

 

16,732

 

 

 

GLORY LTD

 

COMMON STOCK

 

JAPAN

 

7,900

 

 

 

183,357

 

 

 

GMO INTERNET INC

 

COMMON STOCK

 

JAPAN

 

16,300

 

 

 

105,843

 

 

 

GODO STEEL LTD

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

50,091

 

 

 

GOLDCREST CO LTD

 

COMMON STOCK

 

JAPAN

 

10,280

 

 

 

173,681

 

 

 

GREE INC

 

COMMON STOCK

 

JAPAN

 

15,100

 

 

 

234,579

 

 

 

GS YUASA CORP

 

COMMON STOCK

 

JAPAN

 

53,000

 

 

 

213,747

 

 

 

GULLIVER INTERNATIONAL CO

 

COMMON STOCK

 

JAPAN

 

4,540

 

 

 

162,096

 

 

 

GUNMA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

68,000

 

 

 

331,498

 

 

 

GURUNAVI INC

 

COMMON STOCK

 

JAPAN

 

3,100

 

 

 

31,774

 

 

 

H I S CO LTD

 

COMMON STOCK

 

JAPAN

 

3,400

 

 

 

115,505

 

 

 

HACHIJUNI BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

76,000

 

 

 

382,257

 

 

 

HAKUHODO DY HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

4,290

 

 

 

278,240

 

 

 

HAMAMATSU PHOTONICS KK

 

COMMON STOCK

 

JAPAN

 

10,900

 

 

 

394,013

 

 

 

HANKYU REIT INC

 

REIT

 

JAPAN

 

35

 

 

 

167,439

 

 

 

HASEKO CORP

 

COMMON STOCK

 

JAPAN

 

250,000

 

 

 

197,387

 

 

 

HIBIYA ENGINEERING LTD

 

COMMON STOCK

 

JAPAN

 

2,000

 

 

 

22,783

 

 

 

HIGASHI NIPPON BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

26,000

 

 

 

57,274

 

 

 

HINO MOTORS LTD

 

COMMON STOCK

 

JAPAN

 

49,000

 

 

 

440,261

 

 

 

HIOKI E E CORP

 

COMMON STOCK

 

JAPAN

 

2,400

 

 

 

38,139

 

 

 

HIROSE ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

5,800

 

 

 

695,764

 

 

 

HISAKA WORKS LTD

 

COMMON STOCK

 

JAPAN

 

1,000

 

 

 

8,279

 

 

 

HISAMITSU PHARMACEUTICAL CO

 

COMMON STOCK

 

JAPAN

 

12,200

 

 

 

606,101

 

 

 

HITACHI CHEMICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

19,500

 

 

 

291,221

 

 

 

HITACHI CONSTRUCTION MACHINE

 

COMMON STOCK

 

JAPAN

 

20,200

 

 

 

424,877

 

 

 

HITACHI HIGH TECHNOLOGIES CO

 

COMMON STOCK

 

JAPAN

 

12,900

 

 

 

267,410

 

 

 

HITACHI LTD

 

COMMON STOCK

 

JAPAN

 

756,000

 

 

 

4,457,904

 

 

 

HITACHI MEDICAL CORP

 

COMMON STOCK

 

JAPAN

 

20,000

 

 

 

287,471

 

 

 

HITACHI METALS LTD

 

COMMON STOCK

 

JAPAN

 

31,000

 

 

 

262,667

 

 

55



Table of Contents

 

 

 

HITACHI ZOSEN CORP

 

COMMON STOCK

 

JAPAN

 

112,500

 

 

 

157,666

 

 

 

HOKKAIDO ELECTRIC POWER CO

 

COMMON STOCK

 

JAPAN

 

35,000

 

 

 

425,845

 

 

 

HOKUETSU BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

32,000

 

 

 

64,881

 

 

 

HOKURIKU ELECTRIC POWER CO

 

COMMON STOCK

 

JAPAN

 

32,800

 

 

 

388,554

 

 

 

HOKUTO CORP

 

COMMON STOCK

 

JAPAN

 

3,100

 

 

 

60,924

 

 

 

HONDA MOTOR CO LTD

 

COMMON STOCK

 

JAPAN

 

273,500

 

 

 

10,100,596

 

 

 

HOYA CORP

 

COMMON STOCK

 

JAPAN

 

75,300

 

 

 

1,485,493

 

 

 

HYAKUGO BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

38,000

 

 

 

172,195

 

 

 

IBIDEN CO LTD

 

COMMON STOCK

 

JAPAN

 

25,800

 

 

 

412,645

 

 

 

ICHIBANYA CO LTD

 

COMMON STOCK

 

JAPAN

 

20,600

 

 

 

642,199

 

 

 

ICHIYOSHI SECURITIES CO LTD

 

COMMON STOCK

 

JAPAN

 

9,400

 

 

 

65,971

 

 

 

ICOM INC

 

COMMON STOCK

 

JAPAN

 

4,700

 

 

 

104,994

 

 

 

IDEC CORP

 

COMMON STOCK

 

JAPAN

 

14,800

 

 

 

138,010

 

 

 

IDEMITSU KOSAN CO LTD

 

COMMON STOCK

 

JAPAN

 

7,800

 

 

 

680,682

 

 

 

IHI CORP

 

COMMON STOCK

 

JAPAN

 

245,000

 

 

 

630,984

 

 

 

INDUSTRIAL + INFRASTRUCTURE

 

REIT

 

JAPAN

 

43

 

 

 

321,352

 

 

 

INES CORP

 

COMMON STOCK

 

JAPAN

 

11,700

 

 

 

72,965

 

 

 

INFO SERVICES INTL DENTSU

 

COMMON STOCK

 

JAPAN

 

4,500

 

 

 

43,849

 

 

 

INPEX CORP

 

COMMON STOCK

 

JAPAN

 

401

 

 

 

2,144,285

 

 

 

INTERNET INITIATIVE JAPAN

 

COMMON STOCK

 

JAPAN

 

7,400

 

 

 

170,083

 

 

 

ISEKI + CO LTD

 

COMMON STOCK

 

JAPAN

 

60,000

 

 

 

156,199

 

 

 

ISETAN MITSUKOSHI HOLDINGS L

 

COMMON STOCK

 

JAPAN

 

61,060

 

 

 

595,469

 

 

 

ISUZU MOTORS LTD

 

COMMON STOCK

 

JAPAN

 

236,000

 

 

 

1,408,581

 

 

 

IT HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

9,100

 

 

 

110,136

 

 

 

ITO EN LTD

 

COMMON STOCK

 

JAPAN

 

10,500

 

 

 

193,191

 

 

 

ITOCHU CORP

 

COMMON STOCK

 

JAPAN

 

253,000

 

 

 

2,675,887

 

 

 

ITOCHU ENEX CO LTD

 

COMMON STOCK

 

JAPAN

 

12,400

 

 

 

64,084

 

 

 

ITOCHU SHOKUHIN CO LTD

 

COMMON STOCK

 

JAPAN

 

6,900

 

 

 

233,605

 

 

 

ITOCHU TECHNO SOLUTIONS CORP

 

COMMON STOCK

 

JAPAN

 

5,200

 

 

 

214,705

 

 

 

IYO BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

44,000

 

 

 

347,958

 

 

 

IZUMIYA CO LTD

 

COMMON STOCK

 

JAPAN

 

29,000

 

 

 

147,887

 

 

 

J FRONT RETAILING CO LTD

 

COMMON STOCK

 

JAPAN

 

97,000

 

 

 

535,849

 

 

 

J OIL MILLS INC

 

COMMON STOCK

 

JAPAN

 

6,000

 

 

 

16,730

 

 

 

JACCS CO LTD

 

COMMON STOCK

 

JAPAN

 

42,000

 

 

 

226,956

 

 

 

JAFCO CO LTD

 

COMMON STOCK

 

JAPAN

 

5,800

 

 

 

170,018

 

 

 

JAPAN AIRPORT TERMINAL CO

 

COMMON STOCK

 

JAPAN

 

4,700

 

 

 

48,548

 

 

 

JAPAN DIGITAL LABORATORY CO

 

COMMON STOCK

 

JAPAN

 

23,800

 

 

 

267,949

 

 

 

JAPAN EXCHANGE GROUP INC

 

COMMON STOCK

 

JAPAN

 

1,500

 

 

 

75,028

 

 

 

JAPAN LOGISTICS FUND INC

 

REIT

 

JAPAN

 

35

 

 

 

304,425

 

 

 

JAPAN PETROLEUM EXPLORATION

 

COMMON STOCK

 

JAPAN

 

7,300

 

 

 

255,623

 

 

 

JAPAN PRIME REALTY INVESTMEN

 

REIT

 

JAPAN

 

133

 

 

 

384,479

 

 

 

JAPAN PULP + PAPER CO LTD

 

COMMON STOCK

 

JAPAN

 

28,000

 

 

 

91,894

 

 

 

JAPAN RADIO CO LTD

 

COMMON STOCK

 

JAPAN

 

2,841

 

 

 

7,824

 

 

 

JAPAN REAL ESTATE INVESTMENT

 

REIT

 

JAPAN

 

99

 

 

 

972,978

 

 

 

JAPAN RETAIL FUND INVESTMENT

 

REIT

 

JAPAN

 

305

 

 

 

560,555

 

 

 

JAPAN STEEL WORKS LTD

 

COMMON STOCK

 

JAPAN

 

66,000

 

 

 

428,402

 

 

 

JAPAN TOBACCO INC

 

COMMON STOCK

 

JAPAN

 

156,100

 

 

 

4,409,374

 

 

 

JAPAN VILENE CO LTD

 

COMMON STOCK

 

JAPAN

 

10,000

 

 

 

41,815

 

 

 

JAPANESE YEN

 

FOREIGN CURRENCY

 

JAPAN

 

391,166,775

 

 

 

4,523,990

 

 

 

JEOL LTD

 

COMMON STOCK

 

JAPAN

 

15,000

 

 

 

40,147

 

 

 

JFE HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

93,500

 

 

 

1,766,201

 

 

 

JGC CORP

 

COMMON STOCK

 

JAPAN

 

39,000

 

 

 

1,217,326

 

 

 

JOSHIN DENKI CO LTD

 

COMMON STOCK

 

JAPAN

 

14,000

 

 

 

137,342

 

 

 

JOYO BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

125,000

 

 

 

591,864

 

 

 

JSR CORP

 

COMMON STOCK

 

JAPAN

 

33,500

 

 

 

634,124

 

 

 

JTEKT CORP

 

COMMON STOCK

 

JAPAN

 

36,800

 

 

 

351,638

 

 

 

JUKI CORP

 

COMMON STOCK

 

JAPAN

 

211,000

 

 

 

305,283

 

 

 

JUPITER TELECOMMUNICATIONS

 

COMMON STOCK

 

JAPAN

 

266

 

 

 

331,063

 

 

 

JUROKU BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

48,000

 

 

 

163,202

 

 

 

JX HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

410,300

 

 

 

2,315,448

 

 

 

K S HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

6,500

 

 

 

165,294

 

 

 

KABU.COM SECURITIES CO LTD

 

COMMON STOCK

 

JAPAN

 

1,400

 

 

 

6,445

 

 

 

KADOKAWA GROUP HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

3,700

 

 

 

98,658

 

 

 

KAGA ELECTRONICS CO LTD

 

COMMON STOCK

 

JAPAN

 

4,100

 

 

 

36,474

 

 

 

KAGOME CO LTD

 

COMMON STOCK

 

JAPAN

 

11,300

 

 

 

216,136

 

 

 

KAGOSHIMA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

19,000

 

 

 

119,215

 

 

 

KAJIMA CORP

 

COMMON STOCK

 

JAPAN

 

149,000

 

 

 

493,085

 

 

 

KAKAKU.COM INC

 

COMMON STOCK

 

JAPAN

 

6,400

 

 

 

211,160

 

 

 

KAKEN PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

15,000

 

 

 

220,908

 

 

 

KAMIGUMI CO LTD

 

COMMON STOCK

 

JAPAN

 

47,000

 

 

 

373,832

 

 

 

KANEKA CORP

 

COMMON STOCK

 

JAPAN

 

57,000

 

 

 

287,239

 

 

 

KANSAI ELECTRIC POWER CO INC

 

COMMON STOCK

 

JAPAN

 

146,500

 

 

 

1,542,266

 

 

 

KANSAI PAINT CO LTD

 

COMMON STOCK

 

JAPAN

 

39,000

 

 

 

420,869

 

 

 

KANTO NATURAL GAS DEVELOP

 

COMMON STOCK

 

JAPAN

 

44,000

 

 

 

240,495

 

 

 

KAO CORP

 

COMMON STOCK

 

JAPAN

 

91,200

 

 

 

2,380,835

 

 

 

KAPPA CREATE HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

5,450

 

 

 

117,518

 

 

 

KASUMI CO LTD

 

COMMON STOCK

 

JAPAN

 

82,800

 

 

 

524,287

 

 

 

KATAKURA INDUSTRIES CO LTD

 

COMMON STOCK

 

JAPAN

 

7,500

 

 

 

66,414

 

 

 

KATO SANGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

5,300

 

 

 

94,813

 

 

 

KAWASAKI HEAVY INDUSTRIES

 

COMMON STOCK

 

JAPAN

 

263,000

 

 

 

716,127

 

 

56



Table of Contents

 

 

 

KAWASAKI KISEN KAISHA LTD

 

COMMON STOCK

 

JAPAN

 

108,000

 

 

 

165,477

 

 

 

KDDI CORP

 

COMMON STOCK

 

JAPAN

 

47,900

 

 

 

3,390,069

 

 

 

KEIKYU CORP

 

COMMON STOCK

 

JAPAN

 

77,000

 

 

 

682,822

 

 

 

KEIO CORP

 

COMMON STOCK

 

JAPAN

 

103,000

 

 

 

769,493

 

 

 

KEISEI ELECTRIC RAILWAY CO

 

COMMON STOCK

 

JAPAN

 

53,000

 

 

 

448,263

 

 

 

KEIYO BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

31,000

 

 

 

136,369

 

 

 

KEIYO CO LTD

 

COMMON STOCK

 

JAPAN

 

16,500

 

 

 

91,234

 

 

 

KEWPIE CORP

 

COMMON STOCK

 

JAPAN

 

16,400

 

 

 

226,795

 

 

 

KEY COFFEE INC

 

COMMON STOCK

 

JAPAN

 

21,800

 

 

 

391,397

 

 

 

KEYENCE CORP

 

COMMON STOCK

 

JAPAN

 

8,400

 

 

 

2,322,883

 

 

 

KIKKOMAN CORP

 

COMMON STOCK

 

JAPAN

 

27,000

 

 

 

386,454

 

 

 

KINDEN CORP

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

149,426

 

 

 

KINKI SHARYO CO LTD

 

COMMON STOCK

 

JAPAN

 

16,000

 

 

 

53,665

 

 

 

KINTETSU CORP

 

COMMON STOCK

 

JAPAN

 

258,000

 

 

 

1,057,525

 

 

 

KIRIN HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

148,000

 

 

 

1,742,480

 

 

 

KISOJI CO LTD

 

COMMON STOCK

 

JAPAN

 

27,100

 

 

 

530,445

 

 

 

KITZ CORP

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

51,833

 

 

 

KIYO HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

97,000

 

 

 

141,381

 

 

 

KOBAYASHI PHARMACEUTICAL CO

 

COMMON STOCK

 

JAPAN

 

4,800

 

 

 

228,384

 

 

 

KOBE STEEL LTD

 

COMMON STOCK

 

JAPAN

 

703,000

 

 

 

899,421

 

 

 

KOHNAN SHOJI CO LTD

 

COMMON STOCK

 

JAPAN

 

7,800

 

 

 

95,295

 

 

 

KOITO MANUFACTURING CO LTD

 

COMMON STOCK

 

JAPAN

 

16,000

 

 

 

233,781

 

 

 

KOMATSU LTD

 

COMMON STOCK

 

JAPAN

 

162,500

 

 

 

4,166,464

 

 

 

KONAMI CORP

 

COMMON STOCK

 

JAPAN

 

19,200

 

 

 

432,530

 

 

 

KONICA MINOLTA INC

 

COMMON STOCK

 

JAPAN

 

87,500

 

 

 

631,630

 

 

 

KUBOTA CORP

 

COMMON STOCK

 

JAPAN

 

204,000

 

 

 

2,347,633

 

 

 

KURABO INDUSTRIES LTD

 

COMMON STOCK

 

JAPAN

 

42,000

 

 

 

71,853

 

 

 

KURARAY CO LTD

 

COMMON STOCK

 

JAPAN

 

61,500

 

 

 

806,770

 

 

 

KURITA WATER INDUSTRIES LTD

 

COMMON STOCK

 

JAPAN

 

21,100

 

 

 

464,498

 

 

 

KYOCERA CORP

 

COMMON STOCK

 

JAPAN

 

29,100

 

 

 

2,644,010

 

 

 

KYODO PRINTING CO LTD

 

COMMON STOCK

 

JAPAN

 

63,000

 

 

 

161,820

 

 

 

KYORIN HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

9,000

 

 

 

174,867

 

 

 

KYORITSU MAINTENANCE CO LTD

 

COMMON STOCK

 

JAPAN

 

6,400

 

 

 

138,405

 

 

 

KYOWA EXEO CORP

 

COMMON STOCK

 

JAPAN

 

11,500

 

 

 

115,397

 

 

 

KYOWA HAKKO KIRIN CO LTD

 

COMMON STOCK

 

JAPAN

 

49,537

 

 

 

490,168

 

 

 

KYUDENKO CORP

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

67,185

 

 

 

KYUSHU ELECTRIC POWER CO INC

 

COMMON STOCK

 

JAPAN

 

64,400

 

 

 

736,595

 

 

 

LAWSON INC

 

COMMON STOCK

 

JAPAN

 

9,300

 

 

 

633,395

 

 

 

LEOPALACE21 CORP

 

COMMON STOCK

 

JAPAN

 

24,300

 

 

 

100,807

 

 

 

LION CORP

 

COMMON STOCK

 

JAPAN

 

24,000

 

 

 

121,943

 

 

 

LIXIL GROUP CORP

 

COMMON STOCK

 

JAPAN

 

46,400

 

 

 

1,035,310

 

 

 

M3 INC

 

COMMON STOCK

 

JAPAN

 

78

 

 

 

124,233

 

 

 

MABUCHI MOTOR CO LTD

 

COMMON STOCK

 

JAPAN

 

5,100

 

 

 

217,859

 

 

 

MACROMILL INC

 

COMMON STOCK

 

JAPAN

 

4,600

 

 

 

49,540

 

 

 

MAEDA CORP

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

68,389

 

 

 

MAKITA CORP

 

COMMON STOCK

 

JAPAN

 

21,900

 

 

 

1,020,623

 

 

 

MANDOM CORP

 

COMMON STOCK

 

JAPAN

 

4,500

 

 

 

124,119

 

 

 

MANI INC

 

COMMON STOCK

 

JAPAN

 

2,400

 

 

 

96,436

 

 

 

MARS ENGINEERING CORP

 

COMMON STOCK

 

JAPAN

 

6,200

 

 

 

124,048

 

 

 

MARUBENI CORP

 

COMMON STOCK

 

JAPAN

 

283,000

 

 

 

2,031,992

 

 

 

MARUDAI FOOD CO LTD

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

82,941

 

 

 

MARUETSU INC/THE

 

COMMON STOCK

 

JAPAN

 

4,000

 

 

 

13,239

 

 

 

MARUHA NICHIRO HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

57,000

 

 

 

99,642

 

 

 

MARUI GROUP CO LTD

 

COMMON STOCK

 

JAPAN

 

44,200

 

 

 

354,372

 

 

 

MARUICHI STEEL TUBE LTD

 

COMMON STOCK

 

JAPAN

 

9,500

 

 

 

217,978

 

 

 

MARUSAN SECURITIES CO LTD

 

COMMON STOCK

 

JAPAN

 

5,400

 

 

 

28,931

 

 

 

MARUZEN SHOWA UNYU CO LTD

 

COMMON STOCK

 

JAPAN

 

78,000

 

 

 

224,004

 

 

 

MATSUDA SANGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

2,400

 

 

 

29,216

 

 

 

MATSUI SECURITIES CO LTD

 

COMMON STOCK

 

JAPAN

 

9,000

 

 

 

82,361

 

 

 

MATSUYA CO LTD

 

COMMON STOCK

 

JAPAN

 

3,700

 

 

 

37,590

 

 

 

MAX CO LTD

 

COMMON STOCK

 

JAPAN

 

2,000

 

 

 

24,339

 

 

 

MAZDA MOTOR CORP

 

COMMON STOCK

 

JAPAN

 

457,000

 

 

 

935,039

 

 

 

MCDONALD S HOLDINGS CO JAPAN

 

COMMON STOCK

 

JAPAN

 

10,800

 

 

 

285,445

 

 

 

MEDIPAL HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

28,000

 

 

 

309,118

 

 

 

MEGACHIPS CORP

 

COMMON STOCK

 

JAPAN

 

4,400

 

 

 

84,854

 

 

 

MEGMILK SNOW BRAND CO LTD

 

COMMON STOCK

 

JAPAN

 

6,500

 

 

 

102,153

 

 

 

MEIDENSHA CORP

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

78,315

 

 

 

MEIJI HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

9,800

 

 

 

425,596

 

 

 

MEIKO ELECTRONICS CO LTD

 

COMMON STOCK

 

JAPAN

 

3,100

 

 

 

24,627

 

 

 

MELCO HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

5,800

 

 

 

102,710

 

 

 

MID REIT INC

 

REIT

 

JAPAN

 

68

 

 

 

160,982

 

 

 

MIKUNI COCA COLA BOTTLING CO

 

COMMON STOCK

 

JAPAN

 

33,000

 

 

 

311,229

 

 

 

MILBON CO LTD

 

COMMON STOCK

 

JAPAN

 

4,500

 

 

 

142,275

 

 

 

MIMASU SEMICONDUCTOR INDUST

 

COMMON STOCK

 

JAPAN

 

1,200

 

 

 

9,826

 

 

 

MINEBEA CO LTD

 

COMMON STOCK

 

JAPAN

 

67,000

 

 

 

238,924

 

 

 

MINISTOP CO LTD

 

COMMON STOCK

 

JAPAN

 

12,700

 

 

 

213,447

 

 

 

MIRACA HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

8,100

 

 

 

326,784

 

 

 

MIRAIT HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

8,200

 

 

 

74,325

 

 

 

MISUMI GROUP INC

 

COMMON STOCK

 

JAPAN

 

12,300

 

 

 

334,456

 

 

 

MITSUBISHI CHEMICAL HOLDINGS

 

COMMON STOCK

 

JAPAN

 

248,000

 

 

 

1,239,503

 

 

57



Table of Contents

 

 

 

MITSUBISHI CORP

 

COMMON STOCK

 

JAPAN

 

240,400

 

 

 

4,629,986

 

 

 

MITSUBISHI ELECTRIC CORP

 

COMMON STOCK

 

JAPAN

 

335,000

 

 

 

2,856,940

 

 

 

MITSUBISHI ESTATE CO LTD

 

COMMON STOCK

 

JAPAN

 

207,000

 

 

 

4,958,335

 

 

 

MITSUBISHI GAS CHEMICAL CO

 

COMMON STOCK

 

JAPAN

 

72,000

 

 

 

442,021

 

 

 

MITSUBISHI HEAVY INDUSTRIES

 

COMMON STOCK

 

JAPAN

 

523,000

 

 

 

2,534,099

 

 

 

MITSUBISHI LOGISTICS CORP

 

COMMON STOCK

 

JAPAN

 

20,000

 

 

 

287,449

 

 

 

MITSUBISHI MATERIALS CORP

 

COMMON STOCK

 

JAPAN

 

267,000

 

 

 

911,872

 

 

 

MITSUBISHI MOTORS CORP

 

COMMON STOCK

 

JAPAN

 

669,000

 

 

 

692,890

 

 

 

MITSUBISHI PAPER MILLS LTD

 

COMMON STOCK

 

JAPAN

 

10,000

 

 

 

10,011

 

 

 

MITSUBISHI PENCIL CO LTD

 

COMMON STOCK

 

JAPAN

 

9,100

 

 

 

152,445

 

 

 

MITSUBISHI TANABE PHARMA

 

COMMON STOCK

 

JAPAN

 

38,000

 

 

 

496,435

 

 

 

MITSUBISHI UFJ FINANCIAL GRO

 

COMMON STOCK

 

JAPAN

 

2,106,600

 

 

 

11,358,196

 

 

 

MITSUBISHI UFJ LEASE + FINAN

 

COMMON STOCK

 

JAPAN

 

11,140

 

 

 

480,063

 

 

 

MITSUBOSHI BELTING CO LTD

 

COMMON STOCK

 

JAPAN

 

28,000

 

 

 

156,040

 

 

 

MITSUI + CO LTD

 

COMMON STOCK

 

JAPAN

 

297,700

 

 

 

4,462,432

 

 

 

MITSUI CHEMICALS INC

 

COMMON STOCK

 

JAPAN

 

127,000

 

 

 

332,377

 

 

 

MITSUI ENGINEER + SHIPBUILD

 

COMMON STOCK

 

JAPAN

 

140,000

 

 

 

216,438

 

 

 

MITSUI FUDOSAN CO LTD

 

COMMON STOCK

 

JAPAN

 

138,000

 

 

 

3,378,118

 

 

 

MITSUI HOME CO LTD

 

COMMON STOCK

 

JAPAN

 

14,000

 

 

 

81,812

 

 

 

MITSUI MINING + SMELTING CO

 

COMMON STOCK

 

JAPAN

 

107,000

 

 

 

264,607

 

 

 

MITSUI OSK LINES LTD

 

COMMON STOCK

 

JAPAN

 

209,000

 

 

 

624,046

 

 

 

MITSUI SOKO CO LTD

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

52,068

 

 

 

MITSUI SUGAR CO LTD

 

COMMON STOCK

 

JAPAN

 

14,000

 

 

 

40,339

 

 

 

MITSUMI ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

15,400

 

 

 

89,677

 

 

 

MIYAZAKI BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

16,000

 

 

 

39,015

 

 

 

MIZUHO FINANCIAL GROUP INC

 

COMMON STOCK

 

JAPAN

 

3,832,000

 

 

 

7,024,977

 

 

 

MIZUNO CORP

 

COMMON STOCK

 

JAPAN

 

37,000

 

 

 

165,755

 

 

 

MOCHIDA PHARMACEUTICAL CO

 

COMMON STOCK

 

JAPAN

 

9,000

 

 

 

109,906

 

 

 

MORI SEIKI CO LTD

 

COMMON STOCK

 

JAPAN

 

16,000

 

 

 

140,133

 

 

 

MORINAGA + CO LTD

 

COMMON STOCK

 

JAPAN

 

21,000

 

 

 

45,079

 

 

 

MORINAGA MILK INDUSTRY CO

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

80,138

 

 

 

MOS FOOD SERVICES INC

 

COMMON STOCK

 

JAPAN

 

4,200

 

 

 

77,407

 

 

 

MS+AD INSURANCE GROUP HOLDIN

 

COMMON STOCK

 

JAPAN

 

92,500

 

 

 

1,851,643

 

 

 

MURATA MANUFACTURING CO LTD

 

COMMON STOCK

 

JAPAN

 

37,100

 

 

 

2,192,414

 

 

 

NABTESCO CORP

 

COMMON STOCK

 

JAPAN

 

17,000

 

 

 

376,943

 

 

 

NAGAILEBEN CO LTD

 

COMMON STOCK

 

JAPAN

 

7,200

 

 

 

96,158

 

 

 

NAGASE + CO LTD

 

COMMON STOCK

 

JAPAN

 

18,000

 

 

 

199,690

 

 

 

NAMCO BANDAI HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

36,900

 

 

 

479,498

 

 

 

NANTO BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

30,000

 

 

 

136,736

 

 

 

NEC CORP

 

COMMON STOCK

 

JAPAN

 

402,000

 

 

 

848,142

 

 

 

NEC FIELDING LTD

 

COMMON STOCK

 

JAPAN

 

4,300

 

 

 

51,537

 

 

 

NEC NETWORKS + SYSTEM INTEGR

 

COMMON STOCK

 

JAPAN

 

2,600

 

 

 

46,136

 

 

 

NET ONE SYSTEMS CO LTD

 

COMMON STOCK

 

JAPAN

 

11,600

 

 

 

114,092

 

 

 

NGK INSULATORS LTD

 

COMMON STOCK

 

JAPAN

 

45,000

 

 

 

530,258

 

 

 

NGK SPARK PLUG CO LTD

 

COMMON STOCK

 

JAPAN

 

32,000

 

 

 

426,095

 

 

 

NHK SPRING CO LTD

 

COMMON STOCK

 

JAPAN

 

27,000

 

 

 

222,934

 

 

 

NICHI IKO PHARMACEUTICAL CO

 

COMMON STOCK

 

JAPAN

 

4,600

 

 

 

89,300

 

 

 

NICHIAS CORP

 

COMMON STOCK

 

JAPAN

 

31,000

 

 

 

169,645

 

 

 

NICHIDEN CORP

 

COMMON STOCK

 

JAPAN

 

2,300

 

 

 

55,997

 

 

 

NICHIHA CORP

 

COMMON STOCK

 

JAPAN

 

6,800

 

 

 

79,063

 

 

 

NICHII GAKKAN CO

 

COMMON STOCK

 

JAPAN

 

9,600

 

 

 

76,137

 

 

 

NIDEC COPAL CORP

 

COMMON STOCK

 

JAPAN

 

12,000

 

 

 

93,618

 

 

 

NIDEC COPAL ELECTRONICS CORP

 

COMMON STOCK

 

JAPAN

 

10,000

 

 

 

47,494

 

 

 

NIDEC CORP

 

COMMON STOCK

 

JAPAN

 

19,600

 

 

 

1,148,360

 

 

 

NIFCO INC

 

COMMON STOCK

 

JAPAN

 

7,400

 

 

 

164,347

 

 

 

NIHON NOHYAKU CO LTD

 

COMMON STOCK

 

JAPAN

 

5,000

 

 

 

26,419

 

 

 

NIKKISO CO LTD

 

COMMON STOCK

 

JAPAN

 

6,000

 

 

 

63,980

 

 

 

NIKON CORP

 

COMMON STOCK

 

JAPAN

 

58,000

 

 

 

1,715,732

 

 

 

NINTENDO CO LTD

 

COMMON STOCK

 

JAPAN

 

17,200

 

 

 

1,838,852

 

 

 

NIPPON ACCOMMODATIONS FUND

 

REIT

 

JAPAN

 

45

 

 

 

312,402

 

 

 

NIPPON BEET SUGAR MFG CO LTD

 

COMMON STOCK

 

JAPAN

 

41,000

 

 

 

76,525

 

 

 

NIPPON BUILDING FUND INC

 

REIT

 

JAPAN

 

144

 

 

 

1,487,613

 

 

 

NIPPON CARBON CO LTD

 

COMMON STOCK

 

JAPAN

 

22,000

 

 

 

45,448

 

 

 

NIPPON CERAMIC CO LTD

 

COMMON STOCK

 

JAPAN

 

5,300

 

 

 

80,158

 

 

 

NIPPON DENKO CO LTD

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

33,058

 

 

 

NIPPON DENSETSU KOGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

6,000

 

 

 

57,170

 

 

 

NIPPON ELECTRIC GLASS CO LTD

 

COMMON STOCK

 

JAPAN

 

63,000

 

 

 

358,661

 

 

 

NIPPON EXPRESS CO LTD

 

COMMON STOCK

 

JAPAN

 

150,000

 

 

 

620,776

 

 

 

NIPPON FLOUR MILLS CO LTD

 

COMMON STOCK

 

JAPAN

 

12,000

 

 

 

48,611

 

 

 

NIPPON KANZAI CO LTD

 

COMMON STOCK

 

JAPAN

 

6,200

 

 

 

109,762

 

 

 

NIPPON KAYAKU CO LTD

 

COMMON STOCK

 

JAPAN

 

24,000

 

 

 

264,958

 

 

 

NIPPON MEAT PACKERS INC

 

COMMON STOCK

 

JAPAN

 

34,000

 

 

 

469,005

 

 

 

NIPPON PAINT CO LTD

 

COMMON STOCK

 

JAPAN

 

32,000

 

 

 

275,597

 

 

 

NIPPON PAPER GROUP INC

 

COMMON STOCK

 

JAPAN

 

16,600

 

 

 

231,214

 

 

 

NIPPON SHARYO LTD

 

COMMON STOCK

 

JAPAN

 

62,000

 

 

 

236,939

 

 

 

NIPPON SHEET GLASS CO LTD

 

COMMON STOCK

 

JAPAN

 

136,000

 

 

 

180,356

 

 

 

NIPPON SHINYAKU CO LTD

 

COMMON STOCK

 

JAPAN

 

8,000

 

 

 

90,508

 

 

 

NIPPON SIGNAL CO LTD/THE

 

COMMON STOCK

 

JAPAN

 

10,700

 

 

 

75,864

 

 

 

NIPPON SODA CO LTD

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

115,311

 

 

 

NIPPON STEEL + SUMITOMO META

 

COMMON STOCK

 

JAPAN

 

1,422,000

 

 

 

3,504,693

 

 

58



Table of Contents

 

 

 

NIPPON SUISAN KAISHA LTD

 

COMMON STOCK

 

JAPAN

 

29,500

 

 

 

61,153

 

 

 

NIPPON TELEGRAPH + TELEPHONE

 

COMMON STOCK

 

JAPAN

 

73,900

 

 

 

3,110,363

 

 

 

NIPPON YUSEN

 

COMMON STOCK

 

JAPAN

 

462,000

 

 

 

1,089,446

 

 

 

NISHI NIPPON CITY BANK LTD

 

COMMON STOCK

 

JAPAN

 

120,000

 

 

 

296,201

 

 

 

NISHIMATSUYA CHAIN CO LTD

 

COMMON STOCK

 

JAPAN

 

3,700

 

 

 

29,343

 

 

 

NISSAN CHEMICAL INDUSTRIES

 

COMMON STOCK

 

JAPAN

 

27,000

 

 

 

320,350

 

 

 

NISSAN MOTOR CO LTD

 

COMMON STOCK

 

JAPAN

 

426,200

 

 

 

4,053,208

 

 

 

NISSEN HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

14,700

 

 

 

55,441

 

 

 

NISSHA PRINTING CO LTD

 

COMMON STOCK

 

JAPAN

 

4,100

 

 

 

48,864

 

 

 

NISSHIN OILLIO GROUP LTD/THE

 

COMMON STOCK

 

JAPAN

 

15,000

 

 

 

55,543

 

 

 

NISSHIN SEIFUN GROUP INC

 

COMMON STOCK

 

JAPAN

 

31,000

 

 

 

388,666

 

 

 

NISSHIN STEEL HOLDINGS CO LT

 

COMMON STOCK

 

JAPAN

 

16,400

 

 

 

151,153

 

 

 

NISSHINBO HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

24,000

 

 

 

203,488

 

 

 

NISSIN CORP

 

COMMON STOCK

 

JAPAN

 

36,000

 

 

 

88,894

 

 

 

NISSIN FOODS HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

14,700

 

 

 

558,490

 

 

 

NITORI HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

7,350

 

 

 

539,134

 

 

 

NITTA CORP

 

COMMON STOCK

 

JAPAN

 

2,300

 

 

 

36,757

 

 

 

NITTO BOSEKI CO LTD

 

COMMON STOCK

 

JAPAN

 

32,000

 

 

 

127,039

 

 

 

NITTO DENKO CORP

 

COMMON STOCK

 

JAPAN

 

30,700

 

 

 

1,513,426

 

 

 

NITTO KOGYO CORP

 

COMMON STOCK

 

JAPAN

 

4,700

 

 

 

63,887

 

 

 

NITTO KOHKI CO LTD

 

COMMON STOCK

 

JAPAN

 

6,500

 

 

 

137,779

 

 

 

NKSJ HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

60,600

 

 

 

1,293,125

 

 

 

NOHMI BOSAI LTD

 

COMMON STOCK

 

JAPAN

 

16,000

 

 

 

108,375

 

 

 

NOK CORP

 

COMMON STOCK

 

JAPAN

 

20,300

 

 

 

315,108

 

 

 

NOMURA HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

628,400

 

 

 

3,717,541

 

 

 

NOMURA REAL ESTATE HOLDINGS

 

COMMON STOCK

 

JAPAN

 

12,600

 

 

 

240,845

 

 

 

NOMURA REAL ESTATE OFFICE FU

 

REIT

 

JAPAN

 

53

 

 

 

304,700

 

 

 

NOMURA REAL ESTATE RESIDENTI

 

REIT

 

JAPAN

 

40

 

 

 

221,207

 

 

 

NOMURA RESEARCH INSTITUTE LT

 

COMMON STOCK

 

JAPAN

 

21,100

 

 

 

437,633

 

 

 

NORITZ CORP

 

COMMON STOCK

 

JAPAN

 

6,100

 

 

 

101,694

 

 

 

NORTH PACIFIC BANK LTD

 

COMMON STOCK

 

JAPAN

 

54,000

 

 

 

151,713

 

 

 

NSD CO LTD

 

COMMON STOCK

 

JAPAN

 

3,300

 

 

 

28,887

 

 

 

NSK LTD

 

COMMON STOCK

 

JAPAN

 

84,000

 

 

 

599,786

 

 

 

NTN CORP

 

COMMON STOCK

 

JAPAN

 

75,000

 

 

 

203,208

 

 

 

NTT DATA CORP

 

COMMON STOCK

 

JAPAN

 

213

 

 

 

667,273

 

 

 

NTT DOCOMO INC

 

COMMON STOCK

 

JAPAN

 

2,484

 

 

 

3,574,407

 

 

 

NTT URBAN DEVELOPMENT CORP

 

COMMON STOCK

 

JAPAN

 

202

 

 

 

195,478

 

 

 

OBAYASHI CORP

 

COMMON STOCK

 

JAPAN

 

113,000

 

 

 

637,312

 

 

 

OBIC CO LTD

 

COMMON STOCK

 

JAPAN

 

1,150

 

 

 

229,328

 

 

 

ODAKYU ELECTRIC RAILWAY CO

 

COMMON STOCK

 

JAPAN

 

106,000

 

 

 

1,104,903

 

 

 

OILES CORP

 

COMMON STOCK

 

JAPAN

 

6,000

 

 

 

121,134

 

 

 

OITA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

17,000

 

 

 

55,649

 

 

 

OJI HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

159,000

 

 

 

550,163

 

 

 

OKI ELECTRIC INDUSTRY CO LTD

 

COMMON STOCK

 

JAPAN

 

293,000

 

 

 

357,106

 

 

 

OKINAWA ELECTRIC POWER CO

 

COMMON STOCK

 

JAPAN

 

1,800

 

 

 

56,246

 

 

 

OKUMA CORP

 

COMMON STOCK

 

JAPAN

 

26,000

 

 

 

179,531

 

 

 

OKUWA CO LTD

 

COMMON STOCK

 

JAPAN

 

3,000

 

 

 

37,706

 

 

 

OLYMPUS CORP

 

COMMON STOCK

 

JAPAN

 

37,400

 

 

 

727,331

 

 

 

OMRON CORP

 

COMMON STOCK

 

JAPAN

 

36,600

 

 

 

879,321

 

 

 

ONO PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

664,702

 

 

 

ONOKEN CO LTD

 

COMMON STOCK

 

JAPAN

 

2,900

 

 

 

25,735

 

 

 

ONWARD HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

24,000

 

 

 

181,455

 

 

 

ORACLE CORP JAPAN

 

COMMON STOCK

 

JAPAN

 

6,700

 

 

 

279,788

 

 

 

ORGANO CORP

 

COMMON STOCK

 

JAPAN

 

2,000

 

 

 

11,360

 

 

 

ORIENT CORP

 

COMMON STOCK

 

JAPAN

 

59,000

 

 

 

225,742

 

 

 

ORIENTAL LAND CO LTD

 

COMMON STOCK

 

JAPAN

 

9,400

 

 

 

1,138,118

 

 

 

ORIX CORP

 

COMMON STOCK

 

JAPAN

 

17,046

 

 

 

1,927,233

 

 

 

ORIX JREIT INC

 

REIT

 

JAPAN

 

54

 

 

 

265,826

 

 

 

OSAKA GAS CO LTD

 

COMMON STOCK

 

JAPAN

 

333,000

 

 

 

1,211,914

 

 

 

OSAKA TITANIUM TECHNOLOGIES

 

COMMON STOCK

 

JAPAN

 

3,600

 

 

 

80,712

 

 

 

OSAKI ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

2,000

 

 

 

10,970

 

 

 

OTSUKA CORP

 

COMMON STOCK

 

JAPAN

 

2,800

 

 

 

212,265

 

 

 

OTSUKA HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

71,900

 

 

 

2,022,552

 

 

 

OTSUKA KAGU LTD

 

COMMON STOCK

 

JAPAN

 

20,000

 

 

 

176,624

 

 

 

OYO CORP

 

COMMON STOCK

 

JAPAN

 

12,300

 

 

 

149,458

 

 

 

PACIFIC METALS CO LTD

 

COMMON STOCK

 

JAPAN

 

18,000

 

 

 

85,538

 

 

 

PANASONIC CORP

 

COMMON STOCK

 

JAPAN

 

363,500

 

 

 

2,212,973

 

 

 

PARAMOUNT BED HOLDINGS CO LT

 

COMMON STOCK

 

JAPAN

 

9,300

 

 

 

278,204

 

 

 

PARIS MIKI HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

13,800

 

 

 

72,843

 

 

 

PARK24 CO LTD

 

COMMON STOCK

 

JAPAN

 

14,500

 

 

 

229,118

 

 

 

PASONA GROUP INC

 

COMMON STOCK

 

JAPAN

 

23

 

 

 

13,380

 

 

 

PENTA OCEAN CONSTRUCTION CO

 

COMMON STOCK

 

JAPAN

 

38,500

 

 

 

104,304

 

 

 

PIGEON CORP

 

COMMON STOCK

 

JAPAN

 

4,600

 

 

 

219,991

 

 

 

PILOT CORP

 

COMMON STOCK

 

JAPAN

 

59

 

 

 

110,069

 

 

 

PIONEER CORP

 

COMMON STOCK

 

JAPAN

 

33,100

 

 

 

82,858

 

 

 

PLENUS CO LTD

 

COMMON STOCK

 

JAPAN

 

2,800

 

 

 

45,379

 

 

 

POINT INC

 

COMMON STOCK

 

JAPAN

 

2,060

 

 

 

75,265

 

 

 

PRESS KOGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

30,000

 

 

 

137,062

 

 

 

PRONEXUS INC

 

COMMON STOCK

 

JAPAN

 

15,800

 

 

 

89,938

 

 

 

RAKUTEN INC

 

COMMON STOCK

 

JAPAN

 

122,700

 

 

 

958,782

 

 

59



Table of Contents

 

 

 

RENGO CO LTD

 

COMMON STOCK

 

JAPAN

 

30,000

 

 

 

151,745

 

 

 

RESONA HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

303,800

 

 

 

1,380,081

 

 

 

RICOH CO LTD

 

COMMON STOCK

 

JAPAN

 

123,000

 

 

 

1,309,316

 

 

 

RINNAI CORP

 

COMMON STOCK

 

JAPAN

 

6,200

 

 

 

422,059

 

 

 

ROHM CO LTD

 

COMMON STOCK

 

JAPAN

 

18,600

 

 

 

605,433

 

 

 

ROHTO PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

128,310

 

 

 

ROLAND CORP

 

COMMON STOCK

 

JAPAN

 

10,100

 

 

 

80,730

 

 

 

ROLAND DG CORP

 

COMMON STOCK

 

JAPAN

 

4,200

 

 

 

49,657

 

 

 

ROUND ONE CORP

 

COMMON STOCK

 

JAPAN

 

35,100

 

 

 

200,880

 

 

 

ROYAL HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

14,700

 

 

 

169,885

 

 

 

SAINT MARC HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

2,400

 

 

 

85,348

 

 

 

SAIZERIYA CO LTD

 

COMMON STOCK

 

JAPAN

 

3,900

 

 

 

53,558

 

 

 

SAKATA SEED CORP

 

COMMON STOCK

 

JAPAN

 

3,400

 

 

 

42,766

 

 

 

SAN A CO LTD

 

COMMON STOCK

 

JAPAN

 

4,000

 

 

 

149,509

 

 

 

SAN AI OIL CO LTD

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

95,492

 

 

 

SAN IN GODO BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

175,431

 

 

 

SANKEN ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

17,000

 

 

 

65,798

 

 

 

SANKI ENGINEERING CO LTD

 

COMMON STOCK

 

JAPAN

 

8,000

 

 

 

39,000

 

 

 

SANKYO CO LTD

 

COMMON STOCK

 

JAPAN

 

9,800

 

 

 

388,549

 

 

 

SANKYO TATEYAMA INC

 

COMMON STOCK

 

JAPAN

 

7,500

 

 

 

133,580

 

 

 

SANKYU INC

 

COMMON STOCK

 

JAPAN

 

36,000

 

 

 

136,401

 

 

 

SANRIO CO LTD

 

COMMON STOCK

 

JAPAN

 

6,600

 

 

 

210,445

 

 

 

SANTEN PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

498,704

 

 

 

SANYO SHOKAI LTD

 

COMMON STOCK

 

JAPAN

 

7,000

 

 

 

18,691

 

 

 

SAPPORO HOLDINGS LTD

 

COMMON STOCK

 

JAPAN

 

45,000

 

 

 

145,733

 

 

 

SATO HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

9,700

 

 

 

156,819

 

 

 

SAWAI PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

2,400

 

 

 

241,217

 

 

 

SBI HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

34,223

 

 

 

306,073

 

 

 

SCSK CORP

 

COMMON STOCK

 

JAPAN

 

6,200

 

 

 

97,343

 

 

 

SECOM CO LTD

 

COMMON STOCK

 

JAPAN

 

36,300

 

 

 

1,833,095

 

 

 

SEGA SAMMY HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

36,000

 

 

 

609,225

 

 

 

SEIKA CORP

 

COMMON STOCK

 

JAPAN

 

9,000

 

 

 

24,912

 

 

 

SEIKAGAKU CORP

 

COMMON STOCK

 

JAPAN

 

3,200

 

 

 

34,086

 

 

 

SEIKO EPSON CORP

 

COMMON STOCK

 

JAPAN

 

24,100

 

 

 

196,970

 

 

 

SEIKO HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

25,000

 

 

 

59,981

 

 

 

SEIREN CO LTD

 

COMMON STOCK

 

JAPAN

 

8,800

 

 

 

55,047

 

 

 

SEKISUI CHEMICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

76,000

 

 

 

659,464

 

 

 

SEKISUI HOUSE LTD

 

COMMON STOCK

 

JAPAN

 

87,000

 

 

 

954,178

 

 

 

SEKISUI JUSHI CORP

 

COMMON STOCK

 

JAPAN

 

22,000

 

 

 

230,719

 

 

 

SENKO CO LTD

 

COMMON STOCK

 

JAPAN

 

72,000

 

 

 

315,314

 

 

 

SENSHU IKEDA HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

25,720

 

 

 

147,162

 

 

 

SENSHUKAI CO LTD

 

COMMON STOCK

 

JAPAN

 

7,300

 

 

 

44,827

 

 

 

SEVEN + I HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

129,400

 

 

 

3,649,117

 

 

 

SEVEN BANK LTD

 

COMMON STOCK

 

JAPAN

 

89,000

 

 

 

234,896

 

 

 

SHARP CORP

 

COMMON STOCK

 

JAPAN

 

165,000

 

 

 

579,772

 

 

 

SHIBUSAWA WAREHOUSE CO LTD

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

71,086

 

 

 

SHIGA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

37,000

 

 

 

230,019

 

 

 

SHIKOKU ELECTRIC POWER CO

 

COMMON STOCK

 

JAPAN

 

33,000

 

 

 

527,326

 

 

 

SHIMADZU CORP

 

COMMON STOCK

 

JAPAN

 

46,000

 

 

 

310,928

 

 

 

SHIMAMURA CO LTD

 

COMMON STOCK

 

JAPAN

 

3,900

 

 

 

378,429

 

 

 

SHIMANO INC

 

COMMON STOCK

 

JAPAN

 

12,800

 

 

 

817,764

 

 

 

SHIMIZU CORP

 

COMMON STOCK

 

JAPAN

 

111,000

 

 

 

418,275

 

 

 

SHIN ETSU CHEMICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

70,400

 

 

 

4,308,449

 

 

 

SHINKO ELECTRIC INDUSTRIES

 

COMMON STOCK

 

JAPAN

 

12,700

 

 

 

100,513

 

 

 

SHINKO PLANTECH CO LTD

 

COMMON STOCK

 

JAPAN

 

20,900

 

 

 

165,307

 

 

 

SHINSEI BANK LTD

 

COMMON STOCK

 

JAPAN

 

220,000

 

 

 

441,376

 

 

 

SHIONOGI + CO LTD

 

COMMON STOCK

 

JAPAN

 

54,000

 

 

 

901,286

 

 

 

SHIP HEALTHCARE HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

9,200

 

 

 

244,468

 

 

 

SHISEIDO CO LTD

 

COMMON STOCK

 

JAPAN

 

58,000

 

 

 

817,227

 

 

 

SHIZUOKA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

110,000

 

 

 

1,076,425

 

 

 

SHIZUOKA GAS CO LTD

 

COMMON STOCK

 

JAPAN

 

10,000

 

 

 

67,818

 

 

 

SHO BOND HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

6,600

 

 

 

246,671

 

 

 

SHOWA DENKO K K

 

COMMON STOCK

 

JAPAN

 

235,000

 

 

 

360,038

 

 

 

SHOWA SANGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

30,000

 

 

 

97,585

 

 

 

SHOWA SHELL SEKIYU KK

 

COMMON STOCK

 

JAPAN

 

47,700

 

 

 

271,370

 

 

 

SINANEN CO LTD

 

COMMON STOCK

 

JAPAN

 

59,000

 

 

 

245,788

 

 

 

SINFONIA TECHNOLOGY CO LTD

 

COMMON STOCK

 

JAPAN

 

22,000

 

 

 

41,716

 

 

 

SMC CORP

 

COMMON STOCK

 

JAPAN

 

9,100

 

 

 

1,654,108

 

 

 

SOFTBANK CORP

 

COMMON STOCK

 

JAPAN

 

151,600

 

 

 

5,558,214

 

 

 

SOJITZ CORP

 

COMMON STOCK

 

JAPAN

 

234,700

 

 

 

347,882

 

 

 

SONY CORP

 

COMMON STOCK

 

JAPAN

 

163,900

 

 

 

1,837,559

 

 

 

SONY FINANCIAL HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

31,600

 

 

 

569,542

 

 

 

SOTETSU HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

56,000

 

 

 

195,565

 

 

 

SQUARE ENIX HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

12,100

 

 

 

153,198

 

 

 

STANLEY ELECTRIC CO LTD

 

COMMON STOCK

 

JAPAN

 

28,900

 

 

 

412,194

 

 

 

STARBUCKS COFFEE JAPAN LTD

 

COMMON STOCK

 

JAPAN

 

117

 

 

 

78,982

 

 

 

SUMCO CORP

 

COMMON STOCK

 

JAPAN

 

24,700

 

 

 

240,780

 

 

 

SUMITOMO BAKELITE CO LTD

 

COMMON STOCK

 

JAPAN

 

30,000

 

 

 

125,162

 

 

 

SUMITOMO CHEMICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

287,000

 

 

 

907,276

 

 

 

SUMITOMO CORP

 

COMMON STOCK

 

JAPAN

 

184,000

 

 

 

2,363,109

 

 

60



Table of Contents

 

 

 

SUMITOMO ELECTRIC INDUSTRIES

 

COMMON STOCK

 

JAPAN

 

126,700

 

 

 

1,469,081

 

 

 

SUMITOMO FORESTRY CO LTD

 

COMMON STOCK

 

JAPAN

 

21,600

 

 

 

204,581

 

 

 

SUMITOMO HEAVY INDUSTRIES

 

COMMON STOCK

 

JAPAN

 

104,000

 

 

 

497,698

 

 

 

SUMITOMO METAL MINING CO LTD

 

COMMON STOCK

 

JAPAN

 

122,000

 

 

 

1,724,982

 

 

 

SUMITOMO MITSUI FINANCIAL GR

 

COMMON STOCK

 

JAPAN

 

229,054

 

 

 

8,337,669

 

 

 

SUMITOMO MITSUI TRUST HOLDIN

 

COMMON STOCK

 

JAPAN

 

565,000

 

 

 

1,989,004

 

 

 

SUMITOMO OSAKA CEMENT CO LTD

 

COMMON STOCK

 

JAPAN

 

56,000

 

 

 

202,906

 

 

 

SUMITOMO PRECISION PRODUCTS

 

COMMON STOCK

 

JAPAN

 

34,000

 

 

 

165,036

 

 

 

SUMITOMO REALTY + DEVELOPMNT

 

COMMON STOCK

 

JAPAN

 

64,000

 

 

 

2,130,728

 

 

 

SUMITOMO RUBBER INDUSTRIES

 

COMMON STOCK

 

JAPAN

 

32,100

 

 

 

388,603

 

 

 

SURUGA BANK LTD

 

COMMON STOCK

 

JAPAN

 

43,000

 

 

 

529,232

 

 

 

SUZUKEN CO LTD

 

COMMON STOCK

 

JAPAN

 

12,400

 

 

 

350,124

 

 

 

SUZUKI MOTOR CORP

 

COMMON STOCK

 

JAPAN

 

57,800

 

 

 

1,513,964

 

 

 

SYSMEX CORP

 

COMMON STOCK

 

JAPAN

 

9,700

 

 

 

445,291

 

 

 

T GAIA CORP

 

COMMON STOCK

 

JAPAN

 

16,600

 

 

 

156,956

 

 

 

T RAD CO LTD

 

COMMON STOCK

 

JAPAN

 

19,000

 

 

 

50,012

 

 

 

T+D HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

92,000

 

 

 

1,123,504

 

 

 

TACHI S CO LTD

 

COMMON STOCK

 

JAPAN

 

2,700

 

 

 

46,395

 

 

 

TAIHEI DENGYO KAISHA LTD

 

COMMON STOCK

 

JAPAN

 

5,000

 

 

 

30,795

 

 

 

TAIHEIYO CEMENT CORP

 

COMMON STOCK

 

JAPAN

 

179,000

 

 

 

493,531

 

 

 

TAIKISHA LTD

 

COMMON STOCK

 

JAPAN

 

5,800

 

 

 

109,470

 

 

 

TAISEI CORP

 

COMMON STOCK

 

JAPAN

 

184,000

 

 

 

609,472

 

 

 

TAISHO PHARMACEUTICAL HOLDIN

 

COMMON STOCK

 

JAPAN

 

6,900

 

 

 

472,188

 

 

 

TAIYO NIPPON SANSO CORP

 

COMMON STOCK

 

JAPAN

 

52,000

 

 

 

297,635

 

 

 

TAIYO YUDEN CO LTD

 

COMMON STOCK

 

JAPAN

 

12,000

 

 

 

106,407

 

 

 

TAKAMATSU CONSTRUCTION GROUP

 

COMMON STOCK

 

JAPAN

 

600

 

 

 

9,374

 

 

 

TAKARA BIO INC

 

COMMON STOCK

 

JAPAN

 

5,200

 

 

 

43,459

 

 

 

TAKARA HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

26,000

 

 

 

207,212

 

 

 

TAKASHIMAYA CO LTD

 

COMMON STOCK

 

JAPAN

 

53,000

 

 

 

378,489

 

 

 

TAKEDA PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

134,900

 

 

 

6,040,481

 

 

 

TAKIRON CO LTD

 

COMMON STOCK

 

JAPAN

 

6,000

 

 

 

20,845

 

 

 

TAMRON CO LTD

 

COMMON STOCK

 

JAPAN

 

4,800

 

 

 

136,227

 

 

 

TDK CORP

 

COMMON STOCK

 

JAPAN

 

22,700

 

 

 

827,087

 

 

 

TEIJIN LTD

 

COMMON STOCK

 

JAPAN

 

166,000

 

 

 

410,225

 

 

 

TEMP HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

6,600

 

 

 

81,991

 

 

 

TERUMO CORP

 

COMMON STOCK

 

JAPAN

 

30,800

 

 

 

1,226,191

 

 

 

THK CO LTD

 

COMMON STOCK

 

JAPAN

 

20,800

 

 

 

374,504

 

 

 

TOA CORP

 

COMMON STOCK

 

JAPAN

 

34,000

 

 

 

56,066

 

 

 

TOBU RAILWAY CO LTD

 

COMMON STOCK

 

JAPAN

 

157,000

 

 

 

832,473

 

 

 

TOCALO CO LTD

 

COMMON STOCK

 

JAPAN

 

800

 

 

 

13,333

 

 

 

TOCHIGI BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

10,000

 

 

 

34,694

 

 

 

TOENEC CORP

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

57,810

 

 

 

TOHO CO LTD

 

COMMON STOCK

 

JAPAN

 

19,900

 

 

 

351,167

 

 

 

TOHO GAS CO LTD

 

COMMON STOCK

 

JAPAN

 

88,000

 

 

 

473,308

 

 

 

TOHO HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

6,200

 

 

 

108,694

 

 

 

TOHO REAL ESTATE CO LTD

 

COMMON STOCK

 

JAPAN

 

6,600

 

 

 

43,374

 

 

 

TOHO TITANIUM CO LTD

 

COMMON STOCK

 

JAPAN

 

5,200

 

 

 

51,742

 

 

 

TOHO ZINC CO LTD

 

COMMON STOCK

 

JAPAN

 

51,000

 

 

 

224,743

 

 

 

TOHOKU ELECTRIC POWER CO INC

 

COMMON STOCK

 

JAPAN

 

78,000

 

 

 

727,296

 

 

 

TOHOKUSHINSHA FILM CORP

 

COMMON STOCK

 

JAPAN

 

10,900

 

 

 

81,238

 

 

 

TOKAI HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

22,000

 

 

 

70,942

 

 

 

TOKAI RIKA CO LTD

 

COMMON STOCK

 

JAPAN

 

10,200

 

 

 

142,255

 

 

 

TOKEN CORP

 

COMMON STOCK

 

JAPAN

 

1,490

 

 

 

83,473

 

 

 

TOKIO MARINE HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

121,300

 

 

 

3,388,735

 

 

 

TOKUYAMA CORPORATION

 

COMMON STOCK

 

JAPAN

 

42,000

 

 

 

92,074

 

 

 

TOKYO ELECTRIC POWER CO INC

 

COMMON STOCK

 

JAPAN

 

239,600

 

 

 

575,402

 

 

 

TOKYO ELECTRON LTD

 

COMMON STOCK

 

JAPAN

 

31,700

 

 

 

1,461,486

 

 

 

TOKYO GAS CO LTD

 

COMMON STOCK

 

JAPAN

 

425,000

 

 

 

1,946,902

 

 

 

TOKYO ROPE MFG CO LTD

 

COMMON STOCK

 

JAPAN

 

26,000

 

 

 

39,830

 

 

 

TOKYO SEIMITSU CO LTD

 

COMMON STOCK

 

JAPAN

 

5,100

 

 

 

83,164

 

 

 

TOKYO STEEL MFG CO LTD

 

COMMON STOCK

 

JAPAN

 

20,400

 

 

 

99,891

 

 

 

TOKYO TATEMONO CO LTD

 

COMMON STOCK

 

JAPAN

 

53,000

 

 

 

272,700

 

 

 

TOKYOTOKEIBA CO LTD

 

COMMON STOCK

 

JAPAN

 

26,000

 

 

 

52,996

 

 

 

TOKYU CONSTRUCTION CO LTD

 

COMMON STOCK

 

JAPAN

 

8,270

 

 

 

23,753

 

 

 

TOKYU CORP

 

COMMON STOCK

 

JAPAN

 

206,000

 

 

 

1,159,132

 

 

 

TOKYU LAND CORP

 

COMMON STOCK

 

JAPAN

 

81,000

 

 

 

593,289

 

 

 

TOMONY HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

29,000

 

 

 

128,686

 

 

 

TOMY COMPANY LTD

 

COMMON STOCK

 

JAPAN

 

41,900

 

 

 

232,597

 

 

 

TONENGENERAL SEKIYU KK

 

COMMON STOCK

 

JAPAN

 

70,000

 

 

 

604,373

 

 

 

TOP REIT INC

 

REIT

 

JAPAN

 

41

 

 

 

176,662

 

 

 

TOPCON CORP

 

COMMON STOCK

 

JAPAN

 

19,400

 

 

 

167,263

 

 

 

TOPIX INDEX FUTURES

 

MAR13 XTKS

 

JAPAN

 

390,000

 

 

 

337,693

 

 

 

TOPPAN PRINTING CO LTD

 

COMMON STOCK

 

JAPAN

 

94,000

 

 

 

580,298

 

 

 

TORAY INDUSTRIES INC

 

COMMON STOCK

 

JAPAN

 

254,000

 

 

 

1,551,880

 

 

 

TORII PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

6,400

 

 

 

142,131

 

 

 

TORISHIMA PUMP MFG CO LTD

 

COMMON STOCK

 

JAPAN

 

9,200

 

 

 

73,579

 

 

 

TOSHIBA CORP

 

COMMON STOCK

 

JAPAN

 

672,000

 

 

 

2,662,451

 

 

 

TOSOH CORP

 

COMMON STOCK

 

JAPAN

 

92,000

 

 

 

221,604

 

 

 

TOTO LTD

 

COMMON STOCK

 

JAPAN

 

50,000

 

 

 

376,319

 

 

 

TOWA BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

41,000

 

 

 

44,454

 

 

61



Table of Contents

 

 

 

TOWA PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

1,300

 

 

 

68,152

 

 

 

TOYO CORP

 

COMMON STOCK

 

JAPAN

 

7,200

 

 

 

80,564

 

 

 

TOYO ENGINEERING CORP

 

COMMON STOCK

 

JAPAN

 

18,000

 

 

 

85,169

 

 

 

TOYO KANETSU K K

 

COMMON STOCK

 

JAPAN

 

56,000

 

 

 

116,077

 

 

 

TOYO KOHAN CO LTD

 

COMMON STOCK

 

JAPAN

 

13,000

 

 

 

46,218

 

 

 

TOYO SEIKAN GROUP HOLDINGS L

 

COMMON STOCK

 

JAPAN

 

24,500

 

 

 

330,694

 

 

 

TOYO SUISAN KAISHA LTD

 

COMMON STOCK

 

JAPAN

 

17,000

 

 

 

453,947

 

 

 

TOYOBO CO LTD

 

COMMON STOCK

 

JAPAN

 

110,000

 

 

 

157,653

 

 

 

TOYODA GOSEI CO LTD

 

COMMON STOCK

 

JAPAN

 

12,500

 

 

 

254,799

 

 

 

TOYOTA BOSHOKU CORP

 

COMMON STOCK

 

JAPAN

 

11,700

 

 

 

135,984

 

 

 

TOYOTA INDUSTRIES CORP

 

COMMON STOCK

 

JAPAN

 

31,900

 

 

 

1,020,269

 

 

 

TOYOTA MOTOR CORP

 

COMMON STOCK

 

JAPAN

 

452,000

 

 

 

21,139,289

 

 

 

TOYOTA TSUSHO CORP

 

COMMON STOCK

 

JAPAN

 

39,100

 

 

 

967,279

 

 

 

TRANSCOSMOS INC

 

COMMON STOCK

 

JAPAN

 

3,600

 

 

 

38,700

 

 

 

TREND MICRO INC

 

COMMON STOCK

 

JAPAN

 

19,500

 

 

 

589,640

 

 

 

TRUSCO NAKAYAMA CORP

 

COMMON STOCK

 

JAPAN

 

1,700

 

 

 

31,135

 

 

 

TS TECH CO LTD

 

COMMON STOCK

 

JAPAN

 

6,800

 

 

 

122,041

 

 

 

TSUGAMI CORP

 

COMMON STOCK

 

JAPAN

 

11,000

 

 

 

71,751

 

 

 

TSUKISHIMA KIKAI CO LTD

 

COMMON STOCK

 

JAPAN

 

10,000

 

 

 

86,670

 

 

 

TSUKUBA BANK LTD

 

COMMON STOCK

 

JAPAN

 

9,700

 

 

 

33,887

 

 

 

TSUMURA + CO

 

COMMON STOCK

 

JAPAN

 

8,900

 

 

 

268,751

 

 

 

TSURUHA HOLDINGS INC

 

COMMON STOCK

 

JAPAN

 

1,800

 

 

 

141,470

 

 

 

TSUTSUMI JEWELRY CO LTD

 

COMMON STOCK

 

JAPAN

 

7,300

 

 

 

187,808

 

 

 

UBE INDUSTRIES LTD

 

COMMON STOCK

 

JAPAN

 

183,000

 

 

 

440,953

 

 

 

UCHIDA YOKO CO LTD

 

COMMON STOCK

 

JAPAN

 

22,000

 

 

 

63,454

 

 

 

ULVAC INC

 

COMMON STOCK

 

JAPAN

 

4,200

 

 

 

39,421

 

 

 

UNICHARM CORP

 

COMMON STOCK

 

JAPAN

 

19,500

 

 

 

1,017,096

 

 

 

UNIDEN CORP

 

COMMON STOCK

 

JAPAN

 

16,000

 

 

 

36,430

 

 

 

UNIPRES CORP

 

COMMON STOCK

 

JAPAN

 

21,300

 

 

 

469,622

 

 

 

UNITED ARROWS LTD

 

COMMON STOCK

 

JAPAN

 

7,400

 

 

 

170,370

 

 

 

UNITED URBAN INVESTMENT CORP

 

REIT

 

JAPAN

 

307

 

 

 

352,441

 

 

 

UNITIKA LTD

 

COMMON STOCK

 

JAPAN

 

89,000

 

 

 

48,788

 

 

 

UNIVERSAL ENTERTAINMENT CORP

 

COMMON STOCK

 

JAPAN

 

4,800

 

 

 

82,497

 

 

 

UNY GROUP HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

32,000

 

 

 

238,127

 

 

 

USEN CORP

 

COMMON STOCK

 

JAPAN

 

72,730

 

 

 

103,012

 

 

 

USHIO INC

 

COMMON STOCK

 

JAPAN

 

23,000

 

 

 

251,691

 

 

 

USS CO LTD

 

COMMON STOCK

 

JAPAN

 

4,780

 

 

 

496,443

 

 

 

VALOR CO LTD

 

COMMON STOCK

 

JAPAN

 

8,600

 

 

 

135,133

 

 

 

WACOAL HOLDINGS CORP

 

COMMON STOCK

 

JAPAN

 

12,000

 

 

 

124,444

 

 

 

WACOM CO LTD

 

COMMON STOCK

 

JAPAN

 

82

 

 

 

214,441

 

 

 

WATAMI CO LTD

 

COMMON STOCK

 

JAPAN

 

2,600

 

 

 

51,747

 

 

 

WELCIA HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

2,970

 

 

 

103,510

 

 

 

WEST JAPAN RAILWAY CO

 

COMMON STOCK

 

JAPAN

 

31,300

 

 

 

1,235,091

 

 

 

YACHIYO BANK LTD/THE

 

COMMON STOCK

 

JAPAN

 

2,300

 

 

 

48,953

 

 

 

YAHOO JAPAN CORP

 

COMMON STOCK

 

JAPAN

 

2,780

 

 

 

901,569

 

 

 

YAKULT HONSHA CO LTD

 

COMMON STOCK

 

JAPAN

 

17,100

 

 

 

750,770

 

 

 

YAMADA DENKI CO LTD

 

COMMON STOCK

 

JAPAN

 

15,410

 

 

 

595,421

 

 

 

YAMAGUCHI FINANCIAL GROUP IN

 

COMMON STOCK

 

JAPAN

 

39,000

 

 

 

345,248

 

 

 

YAMAHA CORP

 

COMMON STOCK

 

JAPAN

 

31,500

 

 

 

334,268

 

 

 

YAMAHA MOTOR CO LTD

 

COMMON STOCK

 

JAPAN

 

42,100

 

 

 

467,579

 

 

 

YAMATO HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

69,000

 

 

 

1,051,243

 

 

 

YAMATO KOGYO CO LTD

 

COMMON STOCK

 

JAPAN

 

10,200

 

 

 

299,154

 

 

 

YAMAZAKI BAKING CO LTD

 

COMMON STOCK

 

JAPAN

 

24,000

 

 

 

267,811

 

 

 

YAOKO CO LTD

 

COMMON STOCK

 

JAPAN

 

2,400

 

 

 

88,729

 

 

 

YASKAWA ELECTRIC CORP

 

COMMON STOCK

 

JAPAN

 

42,000

 

 

 

405,866

 

 

 

YOKOGAWA ELECTRIC CORP

 

COMMON STOCK

 

JAPAN

 

41,400

 

 

 

451,253

 

 

 

YOKOHAMA REITO CO LTD

 

COMMON STOCK

 

JAPAN

 

21,000

 

 

 

147,834

 

 

 

YOKOHAMA RUBBER CO LTD

 

COMMON STOCK

 

JAPAN

 

36,000

 

 

 

261,078

 

 

 

YOMIURI LAND CO LTD

 

COMMON STOCK

 

JAPAN

 

9,000

 

 

 

33,651

 

 

 

YONEKYU CORP

 

COMMON STOCK

 

JAPAN

 

7,500

 

 

 

63,714

 

 

 

YURTEC CORP

 

COMMON STOCK

 

JAPAN

 

1,000

 

 

 

3,531

 

 

 

YUSEN LOGISTICS CO LTD

 

COMMON STOCK

 

JAPAN

 

3,300

 

 

 

33,010

 

 

 

YUSHIN PRECISION EQUIPMENT

 

COMMON STOCK

 

JAPAN

 

7,800

 

 

 

151,904

 

 

 

ZENRIN CO LTD

 

COMMON STOCK

 

JAPAN

 

2,700

 

 

 

34,973

 

 

 

ZENSHO HOLDINGS CO LTD

 

COMMON STOCK

 

JAPAN

 

63,100

 

 

 

727,853

 

 

 

ZERIA PHARMACEUTICAL CO LTD

 

COMMON STOCK

 

JAPAN

 

3,000

 

 

 

49,690

 

 

 

JORDANIAN DINAR

 

FOREIGN CURRENCY

 

JORDAN

 

43,672

 

 

 

61,531

 

 

 

AMOT INVESTMENTS LTD

 

COMMON STOCK ILS1.

 

KOREA, REPUBLIC OF

 

627

 

 

 

712,820

 

 

 

ASIANA AIRLINES

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

22,264

 

 

 

129,304

 

 

 

BINGGRAE CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

3,947

 

 

 

414,546

 

 

 

BS FINANCIAL GROUP INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

33,145

 

 

 

411,822

 

 

 

BUSAN CITY GAS CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

5,060

 

 

 

97,038

 

 

 

CELLTRION INC

 

COMMON STOCK KRW1000.

 

KOREA, REPUBLIC OF

 

24,018

 

 

 

586,482

 

 

 

CHARTER HALL RETAIL REIT

 

REIT NPV

 

KOREA, REPUBLIC OF

 

9,270

 

 

 

820,366

 

 

 

CHEIL INDUSTRIES INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

17,590

 

 

 

354,968

 

 

 

CHONG KUN DANG PHARM CORP

 

COMMON STOCK KRW2500.

 

KOREA, REPUBLIC OF

 

4,760

 

 

 

164,566

 

 

 

CHOSUN REFRACTORIES

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,447

 

 

 

80,863

 

 

 

CJ CHEILJEDANG CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

20,740

 

 

 

623,606

 

 

 

CJ CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,532

 

 

 

508,848

 

 

 

CK LIFE SCIENCES INTL HLDGS

 

COMMON STOCK HKD.1

 

KOREA, REPUBLIC OF

 

3,084

 

 

 

344,110

 

 

62



Table of Contents

 

 

 

CP ALL PCL FOREIGN

 

COMMON STOCK THB1. A

 

KOREA, REPUBLIC OF

 

10,890

 

 

 

444,265

 

 

 

DAELIM INDUSTRIAL CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

5,340

 

 

 

438,689

 

 

 

DAEWOO ENGINEERING + CONSTR

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

33,894

 

 

 

316,674

 

 

 

DAEWOO INDUSTRIAL DEVELOPMEN

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

393

 

 

 

0

 

 

 

DAEWOO INTERNATIONAL CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

9,717

 

 

 

362,074

 

 

 

DAEWOO MOTOR SALES CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

549

 

 

 

0

 

 

 

DAEWOO SECURITIES CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

37,710

 

 

 

427,754

 

 

 

DAEWOO SHIPBUILDING + MARINE

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

18,340

 

 

 

470,541

 

 

 

DGB FINANCIAL GROUP INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

23,770

 

 

 

324,326

 

 

 

DONG A SOCIO HOLDINGS CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,482

 

 

 

151,189

 

 

 

DONGBU INSURANCE CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

8,430

 

 

 

362,901

 

 

 

DONGKUK STEEL MILL CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

8,370

 

 

 

108,044

 

 

 

DONGWON INDUSTRIES CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

183

 

 

 

49,056

 

 

 

DOOSAN CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

2,501

 

 

 

303,436

 

 

 

DOOSAN HEAVY INDUSTRIES

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

15,703

 

 

 

665,959

 

 

 

DOOSAN INFRACORE CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

18,560

 

 

 

297,205

 

 

 

E MART CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

3,724

 

 

 

828,640

 

 

 

GS ENGINEERING + CONSTRUCT

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

6,840

 

 

 

370,075

 

 

 

GS HOLDINGS

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

9,901

 

 

 

670,514

 

 

 

GS HOME SHOPPING INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,575

 

 

 

224,332

 

 

 

GWANGJUSHINSEGAE CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

328

 

 

 

71,342

 

 

 

HANA FINANCIAL GROUP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

46,366

 

 

 

1,515,777

 

 

 

HANJIN HEAVY INDUS + CONST

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

7,072

 

 

 

83,304

 

 

 

HANJIN SHIPPING CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

17,020

 

 

 

192,245

 

 

 

HANJIN SHIPPING HOLDINGS CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

16,109

 

 

 

86,174

 

 

 

HANKOOK TIRE CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

15,481

 

 

 

684,114

 

 

 

HANKOOK TIRE WORLDWIDE CO LT

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

3,538

 

 

 

65,876

 

 

 

HANSSEM CO LTD

 

COMMON STOCK KRW1000.

 

KOREA, REPUBLIC OF

 

12,370

 

 

 

214,776

 

 

 

HANWHA CHEMICAL CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

15,545

 

 

 

268,603

 

 

 

HANWHA CORPORATION

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

8,630

 

 

 

277,607

 

 

 

HITEJINRO HOLDINGS CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

5,122

 

 

 

78,471

 

 

 

HMC INVESTMENT SECURITIES CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

10,720

 

 

 

143,655

 

 

 

HYOSUNG CORPORATION

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

4,463

 

 

 

309,504

 

 

 

HYUNDAI DEPT STORE CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

2,776

 

 

 

413,626

 

 

 

HYUNDAI DEVELOPMENT COMPANY

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

12,280

 

 

 

250,543

 

 

 

HYUNDAI ENGINEERING + CONST

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

17,844

 

 

 

1,175,444

 

 

 

HYUNDAI GLOVIS CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

3,310

 

 

 

688,897

 

 

 

HYUNDAI GREENFOOD CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

11,030

 

 

 

175,536

 

 

 

HYUNDAI HEAVY INDUSTRIES

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

6,978

 

 

 

1,592,188

 

 

 

HYUNDAI MARINE + FIRE INS CO

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

12,270

 

 

 

383,043

 

 

 

HYUNDAI MIPO DOCKYARD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

2,300

 

 

 

276,148

 

 

 

HYUNDAI MOBIS CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

12,359

 

 

 

3,352,091

 

 

 

HYUNDAI MOTOR CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

28,568

 

 

 

5,880,027

 

 

 

HYUNDAI MOTOR CO LTD 2ND

 

PREFERENCE

 

KOREA, REPUBLIC OF

 

5,861

 

 

 

416,099

 

 

 

HYUNDAI SECURITIES CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

26,855

 

 

 

227,747

 

 

 

HYUNDAI STEEL CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

10,770

 

 

 

890,157

 

 

 

INDUSTRIAL BANK OF KOREA

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

35,210

 

 

 

392,188

 

 

 

INFRAWARE INC

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

9,402

 

 

 

83,481

 

 

 

INTERPARK CORPORATION

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

22,347

 

 

 

146,462

 

 

 

JINSUNG T.E.C.

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

16,347

 

 

 

129,200

 

 

 

KANGWON LAND INC

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

21,390

 

 

 

587,303

 

 

 

KB FINANCIAL GROUP INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

72,169

 

 

 

2,575,018

 

 

 

KCC CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,010

 

 

 

281,374

 

 

 

KIA MOTORS CORPORATION

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

47,327

 

 

 

2,518,326

 

 

 

KOMIPHARM INTERNATIONAL CO

 

COMMON STOCK KRW100.

 

KOREA, REPUBLIC OF

 

11,629

 

 

 

87,122

 

 

 

KOREA ELECTRIC POWER CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

44,320

 

 

 

1,264,456

 

 

 

KOREA EXCHANGE BANK

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

49,490

 

 

 

354,093

 

 

 

KOREA GAS CORPORATION

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

4,560

 

 

 

321,780

 

 

 

KOREA INVESTMENT HOLDINGS CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

8,840

 

 

 

354,493

 

 

 

KOREA ZINC CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,910

 

 

 

728,022

 

 

 

KOREAN AIR LINES CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

6,569

 

 

 

279,202

 

 

 

KOREAN REINSURANCE CO

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

17,088

 

 

 

183,335

 

 

 

KT CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

17,464

 

 

 

580,610

 

 

 

KT+G CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

18,100

 

 

 

1,372,646

 

 

 

KTB INVESTMENT + SECURITIES

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

45,610

 

 

 

96,652

 

 

 

KTHITEL CO LTD

 

COMMON STOCK KRW1000.

 

KOREA, REPUBLIC OF

 

32,858

 

 

 

257,635

 

 

 

KUMHO INDUSTRIAL CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

13,941

 

 

 

20,320

 

 

 

LG CHEM LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

8,549

 

 

 

2,657,862

 

 

 

LG CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

17,990

 

 

 

1,102,644

 

 

 

LG DISPLAY CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

36,420

 

 

 

1,052,589

 

 

 

LG ELECTRONICS INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

17,725

 

 

 

1,224,619

 

 

 

LG FASHION CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

4,739

 

 

 

139,282

 

 

 

LG HAUSYS LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

2,270

 

 

 

168,480

 

 

 

LG HOUSEHOLD + HEALTH CARE

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,930

 

 

 

1,187,545

 

 

 

LG INNOTEK CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

2,428

 

 

 

187,817

 

 

 

LG INTERNATIONAL CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

6,900

 

 

 

314,364

 

 

 

LG UPLUS CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

43,917

 

 

 

320,672

 

 

 

LOTTE CHEMICAL CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

2,590

 

 

 

600,253

 

 

 

LOTTE CONFECTIONERY CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

150

 

 

 

229,150

 

 

 

LOTTE SHOPPING CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,960

 

 

 

692,150

 

 

63



Table of Contents

 

 

 

LS CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

3,710

 

 

 

328,714

 

 

 

LS INDUSTRIAL SYSTEMS

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

3,585

 

 

 

225,681

 

 

 

MANDO CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,885

 

 

 

227,580

 

 

 

MIRAE ASSET SECURITIES CO LT

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

4,504

 

 

 

150,720

 

 

 

MODETOUR NETWORK INC

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

16,807

 

 

 

474,919

 

 

 

MOORIM P+P CO LTD

 

COMMON STOCK KRW2500.

 

KOREA, REPUBLIC OF

 

25,560

 

 

 

91,129

 

 

 

NCSOFT CORPORATION

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

2,672

 

 

 

378,436

 

 

 

NEO HOLDINGS CO LTD

 

COMMON STOCK

 

KOREA, REPUBLIC OF

 

2,501

 

 

 

0

 

 

 

NH INVESTMENT + SECURITIES

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

16,800

 

 

 

80,897

 

 

 

NHN CORP

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

7,370

 

 

 

1,571,489

 

 

 

NONG SHIM HOLDINGS CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,463

 

 

 

83,419

 

 

 

NONGSHIM CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

617

 

 

 

157,166

 

 

 

OCI CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

2,666

 

 

 

414,855

 

 

 

ORION CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

710

 

 

 

730,159

 

 

 

PARADISE CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

20,634

 

 

 

332,709

 

 

 

POSCO

 

ADR

 

KOREA, REPUBLIC OF

 

10,236

 

 

 

3,346,855

 

 

 

S IMMO AG

 

COMMON STOCK NPV

 

KOREA, REPUBLIC OF

 

9,000

 

 

 

881,043

 

 

 

S+P TSE 60 INDEX FUTURES

 

MAR13 XMOD

 

KOREA, REPUBLIC OF

 

3,780

 

 

 

247,344

 

 

 

SAM YOUNG ELECTRONICS CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

17,460

 

 

 

141,394

 

 

 

SAMSUNG C+T CORP

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

24,360

 

 

 

1,434,423

 

 

 

SAMSUNG CARD CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

6,840

 

 

 

233,391

 

 

 

SAMSUNG ELECTRO MECHANICS CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

10,910

 

 

 

1,017,088

 

 

 

SAMSUNG ELECTRONICS CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

18,506

 

 

 

26,486,254

 

 

 

SAMSUNG ELECTRONICS PREF

 

PREFERENCE

 

KOREA, REPUBLIC OF

 

3,947

 

 

 

3,156,373

 

 

 

SAMSUNG ENGINEERING CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

6,150

 

 

 

958,440

 

 

 

SAMSUNG FINE CHEMICALS CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

3,440

 

 

 

196,731

 

 

 

SAMSUNG FIRE + MARINE INS

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

6,170

 

 

 

1,257,884

 

 

 

SAMSUNG HEAVY INDUSTRIES

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

33,020

 

 

 

1,201,627

 

 

 

SAMSUNG LIFE INSURANCE CO LT

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

12,703

 

 

 

1,122,985

 

 

 

SAMSUNG SDI CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

6,670

 

 

 

942,972

 

 

 

SAMSUNG SECURITIES CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

11,487

 

 

 

577,741

 

 

 

SAMSUNG TECHWIN CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

7,155

 

 

 

400,980

 

 

 

SEBANG CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

4,890

 

 

 

80,417

 

 

 

SEOBU T+D

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

7,142

 

 

 

157,282

 

 

 

SEOUL SEMICONDUCTOR CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

9,750

 

 

 

221,684

 

 

 

SFA ENGINEERING CORP

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

3,712

 

 

 

164,109

 

 

 

SHINHAN FINANCIAL GROUP LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

73,844

 

 

 

2,686,013

 

 

 

SHINSEGAE CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,315

 

 

 

269,230

 

 

 

SK HOLDINGS CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

5,471

 

 

 

916,925

 

 

 

SK HYNIX INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

90,400

 

 

 

2,193,201

 

 

 

SK INNOVATION CO LTD

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

11,588

 

 

 

1,901,082

 

 

 

SK NETWORKS CO LTD

 

COMMON STOCK KRW2500.

 

KOREA, REPUBLIC OF

 

26,160

 

 

 

207,571

 

 

 

SK TELECOM CO LTD

 

ADR

 

KOREA, REPUBLIC OF

 

4,201

 

 

 

598,819

 

 

 

SOUTH KOREAN WON

 

FOREIGN CURRENCY

 

KOREA, REPUBLIC OF

 

1,555,439,655

 

 

 

1,452,901

 

 

 

STX OFFSHORE + SHIPBUILDING

 

COMMON STOCK KRW2500.

 

KOREA, REPUBLIC OF

 

10,400

 

 

 

71,537

 

 

 

STX PAN OCEAN CO LTD

 

COMMON STOCK KRW1000.

 

KOREA, REPUBLIC OF

 

28,600

 

 

 

127,558

 

 

 

TAIHAN ELECTRIC WIRE CO LTD

 

COMMON STOCK KRW2500.

 

KOREA, REPUBLIC OF

 

13,968

 

 

 

48,507

 

 

 

TONGYANG SECURITIES INC

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

17,742

 

 

 

68,183

 

 

 

WOONGJIN THINKBIG CO LTD

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

8,480

 

 

 

51,703

 

 

 

WOORI FINANCE HOLDINGS CO

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

84,570

 

 

 

939,193

 

 

 

WOORI INVESTMENT + SECURITIE

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

24,169

 

 

 

270,513

 

 

 

YOUNGONE CORP

 

COMMON STOCK KRW500.

 

KOREA, REPUBLIC OF

 

10,916

 

 

 

337,236

 

 

 

YUHAN CORPORATION

 

COMMON STOCK KRW5000.

 

KOREA, REPUBLIC OF

 

1,543

 

 

 

249,472

 

 

 

DONG AH CONST IND

 

EDR REPR 1/2 COM KRW5000

 

LUXEMBOURG

 

434

 

 

 

0

 

 

 

AIRASIA BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

360,400

 

 

 

324,614

 

 

 

ALLIANCE OIL COMPANY LTD SDR

 

RECEIPT USD1.

 

MALAYSIA

 

315,700

 

 

 

454,609

 

 

 

AMOREPACIFIC CORP

 

COMMON STOCK KRW5000.

 

MALAYSIA

 

285,025

 

 

 

633,090

 

 

 

AXIATA GROUP BERHAD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

420,529

 

 

 

908,691

 

 

 

BERJAYA SPORTS TOTO BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

152,760

 

 

 

222,813

 

 

 

BRITISH AMERICAN TOBACCO BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

23,519

 

 

 

477,418

 

 

 

BURSA MALAYSIA BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

57,100

 

 

 

116,391

 

 

 

CIMC ENRIC HOLDINGS LTD

 

COMMON STOCK HKD.01

 

MALAYSIA

 

886,408

 

 

 

2,214,085

 

 

 

DIGI.COM BHD

 

COMMON STOCK MYR.01

 

MALAYSIA

 

570,200

 

 

 

987,154

 

 

 

GAMUDA BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

254,444

 

 

 

303,359

 

 

 

GENTING BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

334,500

 

 

 

1,010,062

 

 

 

GENTING MALAYSIA BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

459,650

 

 

 

535,713

 

 

 

GENTING PLANTATIONS BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

160,100

 

 

 

472,636

 

 

 

HONG LEONG BANK BERHAD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

104,040

 

 

 

503,910

 

 

 

HONG LEONG FINANCIAL GROUP

 

COMMON STOCK MYR1.

 

MALAYSIA

 

33,800

 

 

 

146,072

 

 

 

IGB CORPORATION BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

135,643

 

 

 

102,395

 

 

 

IJM CORP BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

170,240

 

 

 

278,051

 

 

 

IOI CORPORATION BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

638,932

 

 

 

1,065,470

 

 

 

KLCC PROPERTY HOLDINGS BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

131,400

 

 

 

270,215

 

 

 

KNM GROUP BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

141,327

 

 

 

21,050

 

 

 

KNM GROUP BHD

 

KNM GROUP BHD CW

 

MALAYSIA

 

47,109

 

 

 

0

 

 

 

KUALA LUMPUR KEPONG BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

78,196

 

 

 

615,190

 

 

 

LAFARGE MALAYAN CEMENT BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

71,480

 

 

 

225,718

 

 

 

LION INDUSTRIES CORP BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

279,300

 

 

 

90,469

 

 

 

MALAYAN BANKING BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

764,020

 

 

 

2,298,903

 

 

 

MALAYSIAN RESOURCES CORP BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

1,453,800

 

 

 

741,150

 

 

64



Table of Contents

 

 

 

MALAYSIAN RINGGIT

 

FOREIGN CURRENCY

 

MALAYSIA

 

1,362,852

 

 

 

445,668

 

 

 

MAXIS BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

360,600

 

 

 

785,589

 

 

 

MISC BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

209,640

 

 

 

295,489

 

 

 

MMC CORP BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

105,600

 

 

 

90,900

 

 

 

PETRONAS CHEMICALS GROUP BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

519,500

 

 

 

1,086,420

 

 

 

PETRONAS DAGANGAN BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

59,300

 

 

 

454,025

 

 

 

PETRONAS GAS BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

105,300

 

 

 

672,992

 

 

 

PPB GROUP BERHAD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

86,800

 

 

 

329,653

 

 

 

PUBLIC BANK BERHAD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

19

 

 

 

101

 

 

 

PUBLIC BANK BHD FOREIGN MKT

 

COMMON STOCK MYR1.

 

MALAYSIA

 

191,710

 

 

 

1,023,430

 

 

 

RHB CAPITAL BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

116,748

 

 

 

293,901

 

 

 

SCOMI GROUP BHD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

1,349,200

 

 

 

155,072

 

 

 

SIME DARBY BERHAD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

475,791

 

 

 

1,482,750

 

 

 

TAN CHONG MOTOR HOLDINGS BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

179,400

 

 

 

271,747

 

 

 

TELEKOM MALAYSIA BHD

 

COMMON STOCK MYR.7

 

MALAYSIA

 

186,902

 

 

 

369,421

 

 

 

TENAGA NASIONAL BHD

 

COMMON STOCK MYR1.

 

MALAYSIA

 

489,005

 

 

 

1,109,493

 

 

 

TIME DOTCOM BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

204,520

 

 

 

264,603

 

 

 

UEM LAND HOLDINGS BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

721,633

 

 

 

499,102

 

 

 

UMW HOLDINGS BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

170,800

 

 

 

667,674

 

 

 

UNISEM (M) BERHAD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

386,100

 

 

 

108,330

 

 

 

WAH SEONG CORP BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

270,838

 

 

 

146,642

 

 

 

WTK HOLDINGS BERHAD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

199,200

 

 

 

63,933

 

 

 

YTL CORPORATION BERHAD

 

COMMON STOCK MYR.1

 

MALAYSIA

 

1,044,885

 

 

 

650,254

 

 

 

YTL POWER INTERNATIONAL BHD

 

COMMON STOCK MYR.5

 

MALAYSIA

 

827,384

 

 

 

423,168

 

 

 

ALFA S.A.B. A

 

COMMON STOCK NPV

 

MEXICO

 

617,000

 

 

 

1,305,649

 

 

 

AMLIN PLC

 

COMMON STOCK GBP.28125

 

MEXICO

 

6,879,062

 

 

 

7,887,666

 

 

 

CEMEX SAB CPO

 

UNIT NPV

 

MEXICO

 

1,718,742

 

 

 

1,684,860

 

 

 

COCA COLA HELLENIC BOTTLING

 

COMMON STOCK EUR1.01

 

MEXICO

 

95,000

 

 

 

1,405,906

 

 

 

COSAN SA INDUSTRIA COMERCIO

 

COMMON STOCK NPV

 

MEXICO

 

101,700

 

 

 

118,412

 

 

 

DESARROLLADORA HOMEX SAB DE

 

COMMON STOCK NPV

 

MEXICO

 

60,200

 

 

 

123,821

 

 

 

EMPRESAS ICA S.A.B

 

COMMON STOCK NPV

 

MEXICO

 

84,500

 

 

 

209,981

 

 

 

FOMENTO ECONOMICO MEXICA UBD

 

UNIT NPV

 

MEXICO

 

338,300

 

 

 

3,372,059

 

 

 

GRUPO AEROPORTUARIO DEL B SH

 

COMMON STOCK NPV

 

MEXICO

 

92,100

 

 

 

523,621

 

 

 

GRUPO BIMBO SAB SERIES A

 

COMMON STOCK NPV

 

MEXICO

 

256,200

 

 

 

660,328

 

 

 

GRUPO CARSO SAB DE CV SER A1

 

COMMON STOCK NPV

 

MEXICO

 

116,661

 

 

 

570,728

 

 

 

GRUPO FINANCIERO BANORTE O

 

COMMON STOCK NPV

 

MEXICO

 

349,236

 

 

 

2,244,781

 

 

 

GRUPO FINANCIERO INBURSA O

 

COMMON STOCK MXN.274216

 

MEXICO

 

306,500

 

 

 

924,740

 

 

 

GRUPO MEXICO SAB DE CV SER B

 

COMMON STOCK NPV

 

MEXICO

 

850,109

 

 

 

3,052,563

 

 

 

GRUPO MODELO S.A.B. SER C

 

COMMON STOCK NPV

 

MEXICO

 

136,100

 

 

 

1,215,216

 

 

 

GRUPO TELEVISA SAB SER CPO

 

COMMON STOCK NPV

 

MEXICO

 

478,600

 

 

 

2,516,465

 

 

 

INDUSTRIAS CH S.A.B. SER B

 

COMMON STOCK NPV

 

MEXICO

 

39,200

 

 

 

294,347

 

 

 

INDUSTRIAS PENOLES SAB DE CV

 

COMMON STOCK NPV

 

MEXICO

 

25,295

 

 

 

1,270,029

 

 

 

KIMBERLY CLARK DE MEXICO A

 

COMMON STOCK NPV

 

MEXICO

 

279,000

 

 

 

713,291

 

 

 

MEXICAN PESO (NEW)

 

 

 

MEXICO

 

2,495,213

 

 

 

192,146

 

 

 

MEXICHEM SAB DE CV

 

COMMON STOCK NPV

 

MEXICO

 

136,501

 

 

 

754,823

 

 

 

MINERA FRISCO SAB DE CV A1

 

COMMON STOCK NPV

 

MEXICO

 

116,661

 

 

 

489,606

 

 

 

URBI DESARROLLOS URBANOS SAB

 

COMMON STOCK NPV

 

MEXICO

 

119,200

 

 

 

74,443

 

 

 

WALMART DE MEXICO SER V

 

COMMON STOCK NPV

 

MEXICO

 

952,264

 

 

 

3,093,061

 

 

 

ATTIJARIWAFA BANK

 

COMMON STOCK MAD10.

 

MOROCCO

 

6,856

 

 

 

253,452

 

 

 

DOUJA PROM ADDOHA

 

COMMON STOCK MAD10.

 

MOROCCO

 

39,333

 

 

 

293,041

 

 

 

MAROC TELECOM

 

COMMON STOCK MAD6.

 

MOROCCO

 

33,566

 

 

 

419,675

 

 

 

MOROCCAN DIRHAM

 

FOREIGN CURRENCY

 

MOROCCO

 

417,351

 

 

 

49,334

 

 

 

AALBERTS INDUSTRIES NV

 

COMMON STOCK EUR.25

 

NETHERLANDS

 

18,899

 

 

 

399,058

 

 

 

ACCELL GROUP

 

COMMON STOCK EUR.01

 

NETHERLANDS

 

4,819

 

 

 

84,686

 

 

 

AEGON NV

 

COMMON STOCK EUR.12

 

NETHERLANDS

 

349,750

 

 

 

2,226,272

 

 

 

AEX INDEX FUTURES

 

JAN13 XAMS

 

NETHERLANDS

 

4,800

 

 

 

(6,581)

 

 

 

AKZO NOBEL

 

COMMON STOCK EUR2.

 

NETHERLANDS

 

40,765

 

 

 

2,686,801

 

 

 

APERAM

 

COMMON STOCK

 

NETHERLANDS

 

6,713

 

 

 

101,624

 

 

 

ARCELORMITTAL

 

COMMON STOCK

 

NETHERLANDS

 

181,923

 

 

 

3,145,580

 

 

 

ASML HOLDING NV

 

COMMON STOCK EUR.09

 

NETHERLANDS

 

58,029

 

 

 

3,752,365

 

 

 

BETER BED HOLDING NV

 

COMMON STOCK EUR.02

 

NETHERLANDS

 

2,224

 

 

 

38,971

 

 

 

BINCKBANK NV

 

COMMON STOCK EUR.1

 

NETHERLANDS

 

7,618

 

 

 

62,551

 

 

 

BOSKALIS WESTMINSTER

 

COMMON STOCK EUR.8

 

NETHERLANDS

 

13,230

 

 

 

602,440

 

 

 

BRUNEL INTERNATIONAL

 

COMMON STOCK EUR.05

 

NETHERLANDS

 

3,315

 

 

 

160,246

 

 

 

CORPBANCA SA

 

ADR

 

NETHERLANDS

 

11,098

 

 

 

504,290

 

 

 

CSPC PHARMACEUTICAL GROUP LT

 

COMMON STOCK HKD.1

 

NETHERLANDS

 

12,707

 

 

 

272,931

 

 

 

EXACT HOLDING NV

 

COMMON STOCK EUR.02

 

NETHERLANDS

 

3,117

 

 

 

65,778

 

 

 

FUGRO NV CVA

 

DUTCH CERT EUR.05

 

NETHERLANDS

 

14,031

 

 

 

820,979

 

 

 

HEINEKEN HOLDING NV

 

COMMON STOCK EUR1.6

 

NETHERLANDS

 

20,847

 

 

 

1,140,589

 

 

 

HEINEKEN NV

 

COMMON STOCK EUR1.6

 

NETHERLANDS

 

44,236

 

 

 

2,947,204

 

 

 

ING GROEP NV CVA

 

DUTCH CERT EUR.24

 

NETHERLANDS

 

681,050

 

 

 

6,505,021

 

 

 

KONINKLIJKE AHOLD NV

 

COMMON STOCK EUR.3

 

NETHERLANDS

 

191,853

 

 

 

2,545,333

 

 

 

KONINKLIJKE BAM GROEP NV

 

COMMON STOCK EUR.1

 

NETHERLANDS

 

31,391

 

 

 

136,588

 

 

 

KONINKLIJKE DSM NV

 

COMMON STOCK EUR1.5

 

NETHERLANDS

 

28,666

 

 

 

1,724,649

 

 

 

KONINKLIJKE KPN NV

 

COMMON STOCK EUR.24

 

NETHERLANDS

 

184,300

 

 

 

910,331

 

 

 

KONINKLIJKE PHILIPS ELECTRON

 

COMMON STOCK EUR.2

 

NETHERLANDS

 

178,193

 

 

 

4,775,000

 

 

 

NIEUWE STEEN INVESTMENTS NV

 

REIT EUR.46

 

NETHERLANDS

 

10,284

 

 

 

82,658

 

 

 

NIEUWE STEEN INVESTMENTS NV WT

 

CALL EXP 01APR13

 

NETHERLANDS

 

9,817

 

 

 

0

 

 

 

NUTRECO NV

 

COMMON STOCK EUR.24

 

NETHERLANDS

 

5,322

 

 

 

454,515

 

 

 

POSTNL NV

 

COMMON STOCK EUR.48

 

NETHERLANDS

 

73,314

 

 

 

288,783

 

 

65



Table of Contents

 

 

 

RANDSTAD HOLDING NV

 

COMMON STOCK EUR.1

 

NETHERLANDS

 

17,694

 

 

 

652,391

 

 

 

REED ELSEVIER NV

 

COMMON STOCK EUR.07

 

NETHERLANDS

 

134,698

 

 

 

1,993,339

 

 

 

ROYAL IMTECH NV

 

COMMON STOCK EUR.8

 

NETHERLANDS

 

13,032

 

 

 

304,382

 

 

 

SBM OFFSHORE NV

 

COMMON STOCK EUR.25

 

NETHERLANDS

 

34,059

 

 

 

482,166

 

 

 

SNS REAAL

 

COMMON STOCK EUR1.63

 

NETHERLANDS

 

23,861

 

 

 

33,040

 

 

 

TEN CATE NV

 

COMMON STOCK EUR2.5

 

NETHERLANDS

 

5,698

 

 

 

149,483

 

 

 

TKH GROUP NV DUTCH CERT

 

DUTCH CERT EUR.25

 

NETHERLANDS

 

11,229

 

 

 

286,066

 

 

 

TNT EXPRESS NV

 

COMMON STOCK EUR.08

 

NETHERLANDS

 

62,150

 

 

 

702,215

 

 

 

TOMTOM

 

COMMON STOCK EUR.2

 

NETHERLANDS

 

21,628

 

 

 

110,710

 

 

 

UNILEVER NV CVA

 

DUTCH CERT EUR.16

 

NETHERLANDS

 

264,572

 

 

 

9,971,570

 

 

 

UNIT 4 NV

 

COMMON STOCK EUR.05

 

NETHERLANDS

 

4,908

 

 

 

148,348

 

 

 

USG PEOPLE NV

 

COMMON STOCK EUR.5

 

NETHERLANDS

 

8,317

 

 

 

66,588

 

 

 

VOPAK

 

COMMON STOCK EUR.5

 

NETHERLANDS

 

12,948

 

 

 

911,887

 

 

 

WOLTERS KLUWER

 

COMMON STOCK EUR.12

 

NETHERLANDS

 

62,192

 

 

 

1,284,492

 

 

 

AUCKLAND INTL AIRPORT LTD

 

COMMON STOCK NPV

 

NEW ZEALAND

 

187,831

 

 

 

414,660

 

 

 

CHORUS LTD

 

COMMON STOCK NPV

 

NEW ZEALAND

 

59,843

 

 

 

145,734

 

 

 

CONTAX PARTICIPACOES PREF

 

PREFERENCE

 

NEW ZEALAND

 

52,311

 

 

 

225,404

 

 

 

FISHER + PAYKEL HEALTHCARE C

 

COMMON STOCK NPV

 

NEW ZEALAND

 

142,215

 

 

 

291,108

 

 

 

FLETCHER BUILDING LTD

 

COMMON STOCK NPV

 

NEW ZEALAND

 

114,427

 

 

 

799,335

 

 

 

GOODMAN PROPERTY TRUST

 

REIT NPV

 

NEW ZEALAND

 

252,181

 

 

 

210,392

 

 

 

INFRATIL LTD

 

COMMON STOCK NPV

 

NEW ZEALAND

 

135,700

 

 

 

253,756

 

 

 

MAINFREIGHT LTD

 

COMMON STOCK NPV

 

NEW ZEALAND

 

12,902

 

 

 

125,060

 

 

 

NEW ZEALAND DOLLAR

 

FOREIGN CURRENCY

 

NEW ZEALAND

 

643,139

 

 

 

530,590

 

 

 

PRECINCT PROPERTIES NEW ZEAL

 

COMMON STOCK NPV

 

NEW ZEALAND

 

428,022

 

 

 

350,314

 

 

 

SKY NETWORK TELEVISION LTD

 

COMMON STOCK NPV

 

NEW ZEALAND

 

48,995

 

 

 

198,860

 

 

 

SKYCITY ENTERTAINMENT GROUP

 

COMMON STOCK NPV

 

NEW ZEALAND

 

117,861

 

 

 

369,449

 

 

 

TELECOM CORP OF NEW ZEALAND

 

COMMON STOCK NPV

 

NEW ZEALAND

 

500,816

 

 

 

945,507

 

 

 

AKER SOLUTIONS ASA

 

COMMON STOCK NOK1.66

 

NORWAY

 

36,133

 

 

 

742,546

 

 

 

ATEA ASA

 

COMMON STOCK NOK10.

 

NORWAY

 

15,958

 

 

 

172,637

 

 

 

BW OFFSHORE LTD

 

COMMON STOCK USD.01

 

NORWAY

 

155,965

 

 

 

144,511

 

 

 

DEEP SEA SUPPLY PLC

 

COMMON STOCK USD.02

 

NORWAY

 

100,887

 

 

 

180,315

 

 

 

DNB ASA

 

COMMON STOCK NOK10.

 

NORWAY

 

174,849

 

 

 

2,225,784

 

 

 

DNO INTERNATIONAL ASA

 

COMMON STOCK NOK.25

 

NORWAY

 

128,873

 

 

 

217,196

 

 

 

FRED OLSEN ENERGY ASA

 

COMMON STOCK NOK20.

 

NORWAY

 

9,189

 

 

 

401,309

 

 

 

FRONTLINE LTD

 

COMMON STOCK USD2.5

 

NORWAY

 

9,900

 

 

 

32,862

 

 

 

GJENSIDIGE FORSIKRING ASA

 

COMMON STOCK NOK2.

 

NORWAY

 

37,126

 

 

 

533,576

 

 

 

KVAERNER ASA

 

COMMON STOCK NOK.34

 

NORWAY

 

36,133

 

 

 

105,687

 

 

 

MARINE HARVEST

 

COMMON STOCK NOK.75

 

NORWAY

 

337,000

 

 

 

311,907

 

 

 

NORSK HYDRO ASA

 

COMMON STOCK NOK1.098

 

NORWAY

 

179,636

 

 

 

913,895

 

 

 

NORWEGIAN AIR SHUTTLE AS

 

COMMON STOCK NOK.1

 

NORWAY

 

6,855

 

 

 

177,641

 

 

 

NORWEGIAN KRONE

 

 

 

NORWAY

 

1,832,397

 

 

 

329,257

 

 

 

NORWEGIAN PROPERTY ASA

 

COMMON STOCK NOK.5

 

NORWAY

 

47,352

 

 

 

72,842

 

 

 

OPERA SOFTWARE ASA

 

COMMON STOCK NOK.02

 

NORWAY

 

28,642

 

 

 

163,545

 

 

 

ORKLA ASA

 

COMMON STOCK NOK1.25

 

NORWAY

 

174,335

 

 

 

1,524,211

 

 

 

PETROLEUM GEO SERVICES

 

COMMON STOCK NOK3.

 

NORWAY

 

33,267

 

 

 

574,811

 

 

 

PROSAFE SE

 

COMMON STOCK EUR.25

 

NORWAY

 

42,450

 

 

 

364,604

 

 

 

RENEWABLE ENERGY CORP ASA

 

COMMON STOCK NOK1.

 

NORWAY

 

122,529

 

 

 

23,620

 

 

 

SCHIBSTED ASA

 

COMMON STOCK NOK1.

 

NORWAY

 

13,843

 

 

 

589,537

 

 

 

SEADRILL LTD

 

COMMON STOCK USD2.

 

NORWAY

 

59,217

 

 

 

2,179,453

 

 

 

SONGA OFFSHORE SE

 

COMMON STOCK EUR.11

 

NORWAY

 

35,337

 

 

 

47,651

 

 

 

STATOIL ASA

 

COMMON STOCK NOK2.5

 

NORWAY

 

175,431

 

 

 

4,396,347

 

 

 

STOREBRAND ASA

 

COMMON STOCK NOK5.

 

NORWAY

 

79,509

 

 

 

389,558

 

 

 

SUBSEA 7 SA

 

COMMON STOCK USD2.

 

NORWAY

 

56,276

 

 

 

1,344,140

 

 

 

TELENOR ASA

 

COMMON STOCK NOK6.

 

NORWAY

 

134,247

 

 

 

2,723,781

 

 

 

TGS NOPEC GEOPHYSICAL CO ASA

 

COMMON STOCK NOK.25

 

NORWAY

 

28,860

 

 

 

944,476

 

 

 

TOMRA SYSTEMS ASA

 

COMMON STOCK NOK1.

 

NORWAY

 

21,021

 

 

 

189,772

 

 

 

YARA INTERNATIONAL ASA

 

COMMON STOCK NOK1.7

 

NORWAY

 

34,075

 

 

 

1,689,076

 

 

 

PAKISTAN RUPEE

 

FOREIGN CURRENCY

 

PAKISTAN

 

11,426,497

 

 

 

117,551

 

 

 

CASA GRANDE SAA

 

COMMON STOCK PEN10.

 

PERU

 

36,288

 

 

 

205,431

 

 

 

CIA DE MINAS BUENAVENTUR COM

 

COMMON STOCK PEN10.

 

PERU

 

9,351

 

 

 

337,039

 

 

 

CREDICORP LTD

 

COMMON STOCK USD5.

 

PERU

 

7,138

 

 

 

1,042,148

 

 

 

PERUVIAN NOUVEAU SOL

 

FOREIGN CURRENCY

 

PERU

 

2,837,673

 

 

 

1,111,723

 

 

 

SOUTHERN COPPER CORP

 

COMMON STOCK USD.01

 

PERU

 

13,072

 

 

 

494,775

 

 

 

AYALA CORPORATION

 

COMMON STOCK PHP50.

 

PHILIPPINES

 

54,812

 

 

 

689,568

 

 

 

AYALA LAND INC

 

COMMON STOCK PHP1.

 

PHILIPPINES

 

1,076,090

 

 

 

695,292

 

 

 

BANK OF PHILIPPINE ISLANDS

 

COMMON STOCK PHP10.

 

PHILIPPINES

 

291,691

 

 

 

676,398

 

 

 

BDO UNIBANK INC

 

COMMON STOCK PHP10.

 

PHILIPPINES

 

472,240

 

 

 

838,988

 

 

 

FIRST GEN CORPORATION

 

COMMON STOCK PHP1.

 

PHILIPPINES

 

803,291

 

 

 

436,701

 

 

 

GLOBE TELECOM INC

 

COMMON STOCK PHP50.

 

PHILIPPINES

 

5,496

 

 

 

146,536

 

 

 

JOLLIBEE FOODS CORPORATION

 

COMMON STOCK PHP1.

 

PHILIPPINES

 

108,850

 

 

 

271,571

 

 

 

MEGAWORLD CORP

 

COMMON STOCK PHP1.

 

PHILIPPINES

 

5,854,200

 

 

 

395,541

 

 

 

METROPOLITAN BANK + TRUST

 

COMMON STOCK PHP20.

 

PHILIPPINES

 

197,254

 

 

 

491,626

 

 

 

PHILIPPINE LONG DISTANCE TEL

 

COMMON STOCK PHP5.

 

PHILIPPINES

 

8,207

 

 

 

506,699

 

 

 

PHILIPPINE PESO

 

FOREIGN CURRENCY

 

PHILIPPINES

 

13,409,372

 

 

 

326,560

 

 

 

SM INVESTMENTS CORP

 

COMMON STOCK PHP10.

 

PHILIPPINES

 

49,664

 

 

 

1,067,485

 

 

 

SM PRIME HOLDINGS INC

 

COMMON STOCK PHP1.

 

PHILIPPINES

 

1,834,289

 

 

 

738,676

 

 

 

VISTA LAND + LIFESCAPES INC

 

COMMON STOCK PHP1.

 

PHILIPPINES

 

4,443,600

 

 

 

526,635

 

 

 

AGORA SA

 

COMMON STOCK PLN1.

 

POLAND

 

30,897

 

 

 

104,117

 

 

 

ASSECO POLAND SA

 

COMMON STOCK PLN1.

 

POLAND

 

16,234

 

 

 

237,220

 

 

 

BANK HANDLOWY W WARSZAWIE SA

 

COMMON STOCK PLN4.

 

POLAND

 

9,352

 

 

 

298,486

 

 

66



Table of Contents

 

 

 

BANK PEKAO SA

 

COMMON STOCK PLN1.

 

POLAND

 

18,828

 

 

 

1,027,254

 

 

 

BIOTON SA

 

COMMON STOCK PLN.2

 

POLAND

 

2,288,352

 

 

 

73,995

 

 

 

BRE BANK SA

 

COMMON STOCK PLN4.

 

POLAND

 

2,612

 

 

 

276,796

 

 

 

CYFROWY POLSAT SA

 

COMMON STOCK PLN.04

 

POLAND

 

56,616

 

 

 

301,312

 

 

 

GETAC TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

POLAND

 

282,702

 

 

 

164,699

 

 

 

GETIN NOBLE BANK SA

 

COMMON STOCK PLN1.

 

POLAND

 

96,588

 

 

 

88,718

 

 

 

GLOBE TRADE CENTRE SA

 

COMMON STOCK PLN.1

 

POLAND

 

37,186

 

 

 

120,220

 

 

 

JASTRZEBSKA SPOLKA WEGLOWA S

 

COMMON STOCK PLN5.

 

POLAND

 

9,843

 

 

 

296,276

 

 

 

KERNEL HOLDING SA

 

COMMON STOCK NPV

 

POLAND

 

11,989

 

 

 

260,000

 

 

 

KGHM POLSKA MIEDZ SA

 

COMMON STOCK PLN10.

 

POLAND

 

24,430

 

 

 

1,518,996

 

 

 

LUBELSKI WEGIEL BOGDANKA SA

 

COMMON STOCK PLN5.

 

POLAND

 

8,211

 

 

 

361,659

 

 

 

PGE SA

 

COMMON STOCK PLN10.

 

POLAND

 

136,387

 

 

 

804,204

 

 

 

PKO BANK POLSKI SA

 

COMMON STOCK PLN1.

 

POLAND

 

99,127

 

 

 

1,195,831

 

 

 

POLIMEX RTS

 

EXP 31DEC12

 

POLAND

 

189,494

 

 

 

2,265

 

 

 

POLISH ZLOTY

 

FOREIGN CURRENCY

 

POLAND

 

1,324,281

 

 

 

427,891

 

 

 

POLSKI KONCERN NAFTOWY ORLEN

 

COMMON STOCK PLN1.25

 

POLAND

 

61,326

 

 

 

991,204

 

 

 

POLSKIE GORNICTWO NAFTOWE I

 

COMMON STOCK PLN1.

 

POLAND

 

298,983

 

 

 

508,836

 

 

 

POWSZECHNY ZAKLAD UBEZPIECZE

 

COMMON STOCK PLN1.

 

POLAND

 

8,611

 

 

 

1,222,850

 

 

 

RAFAKO SA

 

COMMON STOCK PLN2.

 

POLAND

 

28,750

 

 

 

77,869

 

 

 

SYNTHOS SA

 

COMMON STOCK PLN.03

 

POLAND

 

165,231

 

 

 

291,370

 

 

 

TAURON POLSKA ENERGIA SA

 

COMMON STOCK PLN5.

 

POLAND

 

228,847

 

 

 

351,685

 

 

 

TELEKOMUNIKACJA POLSKA SA

 

COMMON STOCK PLN3.

 

POLAND

 

117,106

 

 

 

463,928

 

 

 

TVN SA

 

COMMON STOCK PLN.2

 

POLAND

 

29,848

 

 

 

96,654

 

 

 

ALUMINA LTD

 

COMMON STOCK NPV

 

PORTUGAL

 

76,954

 

 

 

160,274

 

 

 

BANCO COMERCIAL PORTUGUES R

 

COMMON STOCK NPV

 

PORTUGAL

 

457,472

 

 

 

45,280

 

 

 

BANCO ESPIRITO SANTO REG

 

COMMON STOCK

 

PORTUGAL

 

521,068

 

 

 

628,285

 

 

 

EDP ENERGIAS DE PORTUGAL SA

 

COMMON STOCK EUR1.

 

PORTUGAL

 

301,597

 

 

 

905,502

 

 

 

GALP ENERGIA SGPS SA

 

COMMON STOCK EUR1.

 

PORTUGAL

 

37,564

 

 

 

582,872

 

 

 

JERONIMO MARTINS

 

COMMON STOCK EUR1.

 

PORTUGAL

 

37,231

 

 

 

717,589

 

 

 

MOTA ENGIL SGPS SA

 

COMMON STOCK EUR1.

 

PORTUGAL

 

22,125

 

 

 

45,721

 

 

 

PORTUCEL SA

 

COMMON STOCK EUR1.

 

PORTUGAL

 

21,581

 

 

 

64,036

 

 

 

PORTUGAL TELECOM SGPS SA REG

 

COMMON STOCK EUR.03

 

PORTUGAL

 

132,895

 

 

 

663,995

 

 

 

REDES ENERGETICAS NACIONAIS

 

COMMON STOCK EUR1.

 

PORTUGAL

 

52,607

 

 

 

142,284

 

 

 

SEMAPA SOCIEDADE DE INVESTIM

 

COMMON STOCK EUR1.

 

PORTUGAL

 

15,519

 

 

 

118,141

 

 

 

SONAE

 

COMMON STOCK EUR1.

 

PORTUGAL

 

138,696

 

 

 

126,855

 

 

 

SONAECOM SGPS SA

 

COMMON STOCK EUR1.

 

PORTUGAL

 

48,157

 

 

 

94,613

 

 

 

ZON MULTIMEDIA SERVICOS DE T

 

COMMON STOCK EUR.01

 

PORTUGAL

 

40,818

 

 

 

160,755

 

 

 

FEDERAL GRID CO UNIFIED

 

COMMON STOCK RUB.5

 

RUSSIAN FEDERATION

 

43,725,700

 

 

 

282,468

 

 

 

FEDERAL HYDROGENERATING CO

 

COMMON STOCK RUB1.

 

RUSSIAN FEDERATION

 

31,298,600

 

 

 

845,062

 

 

 

MOBILE TELESYSTEMS OJSC

 

COMMON STOCK RUB.1

 

RUSSIAN FEDERATION

 

14,639

 

 

 

111,549

 

 

 

NEW RUSSIAN RUBLE

 

FOREIGN CURRENCY

 

RUSSIAN FEDERATION

 

116,839

 

 

 

3,825

 

 

 

ROSTELECOM

 

COMMON STOCK RUB.0025

 

RUSSIAN FEDERATION

 

223,160

 

 

 

981,322

 

 

 

SBERBANK

 

COMMON STOCK RUB3.

 

RUSSIAN FEDERATION

 

1,435,137

 

 

 

4,433,663

 

 

 

SBERBANK PREFERENCE

 

PREFERENCE

 

RUSSIAN FEDERATION

 

362,289

 

 

 

802,635

 

 

 

TATNEFT CLS

 

COMMON STOCK RUB1.

 

RUSSIAN FEDERATION

 

265,606

 

 

 

1,907,051

 

 

 

ARA ASSET MANAGEMENT 10

 

COMMON STOCK NPV

 

SINGAPORE

 

215,600

 

 

 

287,698

 

 

 

ASCENDAS REAL ESTATE INV TRT

 

REIT NPV

 

SINGAPORE

 

519,800

 

 

 

1,018,382

 

 

 

ASCOTT RESIDENCE TRUST

 

REIT NPV

 

SINGAPORE

 

102,221

 

 

 

114,014

 

 

 

BIOSENSORS INTERNATIONAL GRO

 

COMMON STOCK USD.066.67

 

SINGAPORE

 

178,000

 

 

 

176,981

 

 

 

CAMBRIDGE INDUSTRIAL TRUST

 

REIT

 

SINGAPORE

 

366,551

 

 

 

203,747

 

 

 

CAPITACOMMERCIAL TRUST

 

REIT NPV

 

SINGAPORE

 

396,000

 

 

 

547,426

 

 

 

CAPITALAND LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

472,499

 

 

 

1,449,592

 

 

 

CAPITAMALL TRUST

 

REIT NPV

 

SINGAPORE

 

394,249

 

 

 

690,842

 

 

 

CAPITAMALLS ASIA LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

313,000

 

 

 

503,481

 

 

 

CAPITARETAIL CHINA TRUST

 

REIT

 

SINGAPORE

 

109,000

 

 

 

147,327

 

 

 

CITY LODGE HOTELS LTD

 

COMMON STOCK ZAR.1

 

SINGAPORE

 

102,000

 

 

 

1,088,024

 

 

 

COMINAR REAL ESTATE INV TR U

 

REIT NPV

 

SINGAPORE

 

382,000

 

 

 

559,896

 

 

 

COSCO PACIFIC LTD

 

COMMON STOCK HKD.1

 

SINGAPORE

 

160,000

 

 

 

118,871

 

 

 

DBS GROUP HOLDINGS LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

318,354

 

 

 

3,897,235

 

 

 

EZRA HOLDINGS LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

160,800

 

 

 

152,190

 

 

 

FRASER AND NEAVE LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

168,850

 

 

 

1,343,971

 

 

 

FRASERS COMMERCIAL TRUST

 

REIT NPV

 

SINGAPORE

 

273,400

 

 

 

296,555

 

 

 

GALLANT VENTURE LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

240,000

 

 

 

56,571

 

 

 

GENTING SINGAPORE PLC

 

COMMON STOCK USD.1

 

SINGAPORE

 

981,399

 

 

 

1,122,994

 

 

 

GLOBAL LOGISTIC PROPERTIES L

 

COMMON STOCK NPV

 

SINGAPORE

 

475,000

 

 

 

1,092,241

 

 

 

GOLDEN AGRI RESOURCES LTD

 

COMMON STOCK USD.025

 

SINGAPORE

 

1,107,287

 

 

 

596,117

 

 

 

HO BEE INVESTMENT LTD

 

COMMON STOCK

 

SINGAPORE

 

150,000

 

 

 

236,867

 

 

 

HUTCHISON PORT HOLDINGS TR U

 

UNIT NPV

 

SINGAPORE

 

888,000

 

 

 

706,974

 

 

 

JARDINE CYCLE + CARRIAGE LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

21,324

 

 

 

848,442

 

 

 

K1 VENTURES LTD

 

COMMON STOCK

 

SINGAPORE

 

165,000

 

 

 

20,277

 

 

 

KEPPEL CORP LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

247,500

 

 

 

2,248,997

 

 

 

KEPPEL LAND LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

164,446

 

 

 

549,694

 

 

 

LIPPO MALLS INDONESIA RETAIL

 

REIT NPV

 

SINGAPORE

 

426,000

 

 

 

170,910

 

 

 

MAPLETREE INDUSTRIAL TRUST

 

REIT NPV

 

SINGAPORE

 

292,000

 

 

 

326,322

 

 

 

MAPLETREE LOGISTICS TRUST 20

 

REIT NPV

 

SINGAPORE

 

358,062

 

 

 

336,802

 

 

 

MSCI TAIWAN INDEX FUTURES

 

JAN13 XSES

 

SINGAPORE

 

24,900

 

 

 

101,619

 

 

 

NEPTUNE ORIENT LINES LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

157,500

 

 

 

149,783

 

 

 

NOBLE GROUP LTD

 

COMMON STOCK HKD.25

 

SINGAPORE

 

576,420

 

 

 

555,861

 

 

 

OLAM INTERNATIONAL LTD

 

RIGHT

 

SINGAPORE

 

194,086

 

 

 

248,930

 

 

 

OLAM INTERNATIONAL LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

60,748

 

 

 

0

 

 

67



Table of Contents

 

 

 

OVERSEA CHINESE BANKING CORP

 

COMMON STOCK NPV

 

SINGAPORE

 

484,655

 

 

 

3,899,525

 

 

 

PARKWAYLIFE REAL ESTATE

 

REIT NPV

 

SINGAPORE

 

146,000

 

 

 

257,506

 

 

 

SATS LTD

 

COMMON STOCK

 

SINGAPORE

 

110,358

 

 

 

262,586

 

 

 

SEMBCORP INDUSTRIES LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

181,200

 

 

 

789,562

 

 

 

SEMBCORP MARINE LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

168,200

 

 

 

640,370

 

 

 

SINGAPORE AIRLINES LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

105,340

 

 

 

931,657

 

 

 

SINGAPORE DOLLAR

 

FOREIGN CURRENCY

 

SINGAPORE

 

309,636

 

 

 

253,488

 

 

 

SINGAPORE EXCHANGE LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

162,000

 

 

 

939,216

 

 

 

SINGAPORE POST LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

320,000

 

 

 

301,244

 

 

 

SINGAPORE PRESS HOLDINGS LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

306,750

 

 

 

1,014,928

 

 

 

SINGAPORE TECH ENGINEERING

 

COMMON STOCK NPV

 

SINGAPORE

 

273,000

 

 

 

861,781

 

 

 

SINGAPORE TELECOM LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

1,371,090

 

 

 

3,728,908

 

 

 

SMRT CORP LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

188,000

 

 

 

260,334

 

 

 

STAMFORD LAND CORP LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

108,000

 

 

 

51,155

 

 

 

STARHUB LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

139,000

 

 

 

434,057

 

 

 

SUNTEC REIT

 

REIT NPV

 

SINGAPORE

 

432,000

 

 

 

595,432

 

 

 

SWIBER HOLDINGS LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

92,000

 

 

 

46,281

 

 

 

TAT HONG HOLDINGS LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

130,000

 

 

 

145,125

 

 

 

UNITED OVERSEAS BANK LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

223,179

 

 

 

3,655,471

 

 

 

UOL GROUP LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

106,037

 

 

 

523,444

 

 

 

VENTURE CORP LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

47,000

 

 

 

310,980

 

 

 

WILMAR INTERNATIONAL LTD

 

COMMON STOCK NPV

 

SINGAPORE

 

307,000

 

 

 

848,525

 

 

 

YANGZIJIANG SHIPBUILDING

 

COMMON STOCK NPV

 

SINGAPORE

 

312,000

 

 

 

247,192

 

 

 

ABSA GROUP LTD

 

COMMON STOCK ZAR2.

 

SOUTH AFRICA

 

50,459

 

 

 

983,019

 

 

 

ACUCAP PROPERTIES LTD

 

UNIT ZAR.001

 

SOUTH AFRICA

 

25,157

 

 

 

136,071

 

 

 

ADCOCK INGRAM HOLDINGS LTD

 

COMMON STOCK ZAR.001

 

SOUTH AFRICA

 

31,447

 

 

 

200,165

 

 

 

ADCORP HOLDINGS LTD

 

COMMON STOCK ZAR.025

 

SOUTH AFRICA

 

33,046

 

 

 

116,333

 

 

 

AECI LTD

 

COMMON STOCK ZAR1.

 

SOUTH AFRICA

 

28,493

 

 

 

268,143

 

 

 

AFRICAN BANK INVESTMENTS LTD

 

COMMON STOCK ZAR.025

 

SOUTH AFRICA

 

187,348

 

 

 

719,794

 

 

 

AFRICAN RAINBOW MINERALS LTD

 

COMMON STOCK ZAR.05

 

SOUTH AFRICA

 

23,633

 

 

 

539,588

 

 

 

ANGLO AMERICAN PLATINUM LTD

 

COMMON STOCK ZAR.1

 

SOUTH AFRICA

 

13,711

 

 

 

727,179

 

 

 

ANGLOGOLD ASHANTI LTD

 

COMMON STOCK ZAR.25

 

SOUTH AFRICA

 

68,715

 

 

 

2,145,165

 

 

 

ARCELORMITTAL SOUTH AFRICA

 

COMMON STOCK NPV

 

SOUTH AFRICA

 

33,692

 

 

 

145,102

 

 

 

ASPEN PHARMACARE HOLDINGS LT

 

COMMON STOCK ZAR.39067

 

SOUTH AFRICA

 

44,839

 

 

 

895,404

 

 

 

ASTRAL FOODS LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

7,400

 

 

 

90,259

 

 

 

AVENG LTD

 

COMMON STOCK ZAR.05

 

SOUTH AFRICA

 

67,146

 

 

 

242,749

 

 

 

AVI LTD

 

COMMON STOCK ZAR.05

 

SOUTH AFRICA

 

57,261

 

 

 

403,630

 

 

 

BARLOWORLD LTD

 

COMMON STOCK ZAR.05

 

SOUTH AFRICA

 

39,305

 

 

 

404,799

 

 

 

BIDVEST GROUP LTD

 

COMMON STOCK ZAR.05

 

SOUTH AFRICA

 

49,955

 

 

 

1,276,980

 

 

 

BRAIT SE

 

COMMON STOCK NPV

 

SOUTH AFRICA

 

113,171

 

 

 

491,313

 

 

 

CAPITAL PROPERTY FUND

 

UNIT NPV

 

SOUTH AFRICA

 

283,602

 

 

 

358,588

 

 

 

CITIC 21CN CO LTD

 

COMMON STOCK HKD.01

 

SOUTH AFRICA

 

31,672

 

 

 

33,613

 

 

 

CITYCON OYJ

 

COMMON STOCK NPV

 

SOUTH AFRICA

 

11,295

 

 

 

137,536

 

 

 

CLOSE BROTHERS GROUP PLC

 

COMMON STOCK GBP.25

 

SOUTH AFRICA

 

58,516

 

 

 

457,924

 

 

 

DATATEC LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

23,621

 

 

 

138,232

 

 

 

DISCOVERY LTD

 

COMMON STOCK ZAR.001

 

SOUTH AFRICA

 

43,237

 

 

 

318,010

 

 

 

EXXARO RESOURCES LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

25,291

 

 

 

517,284

 

 

 

FIRSTRAND LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

544,003

 

 

 

2,009,931

 

 

 

FOUNTAINHEAD PROPERTY TRUST

 

UNIT NPV

 

SOUTH AFRICA

 

299,126

 

 

 

298,196

 

 

 

GOLD FIELDS LTD

 

COMMON STOCK ZAR.5

 

SOUTH AFRICA

 

123,058

 

 

 

1,526,039

 

 

 

GROWTHPOINT PROPERTIES LTD

 

UNIT ZAR.05

 

SOUTH AFRICA

 

257,726

 

 

 

744,357

 

 

 

HARMONY GOLD MINING CO LTD

 

COMMON STOCK ZAR.5

 

SOUTH AFRICA

 

66,575

 

 

 

589,135

 

 

 

HUDACO INDUSTRIES LTD

 

COMMON STOCK ZAR.1

 

SOUTH AFRICA

 

9,906

 

 

 

135,290

 

 

 

IMPALA PLATINUM HOLDINGS LTD

 

COMMON STOCK ZAR.025

 

SOUTH AFRICA

 

95,469

 

 

 

1,926,089

 

 

 

IMPERIAL HOLDINGS LTD

 

COMMON STOCK ZAR.04

 

SOUTH AFRICA

 

34,447

 

 

 

816,579

 

 

 

INVESTEC LTD

 

COMMON STOCK ZAR.0002

 

SOUTH AFRICA

 

33,001

 

 

 

230,343

 

 

 

JD GROUP LTD

 

COMMON STOCK NPV

 

SOUTH AFRICA

 

42,099

 

 

 

222,677

 

 

 

JSE LTD

 

COMMON STOCK ZAR.001

 

SOUTH AFRICA

 

13,400

 

 

 

123,434

 

 

 

KUMBA IRON ORE LTD

 

COMMON STOCK ZAR.0001

 

SOUTH AFRICA

 

15,000

 

 

 

1,024,217

 

 

 

LEWIS GROUP LTD

 

COMMON STOCK ZAR.0001

 

SOUTH AFRICA

 

23,353

 

 

 

190,335

 

 

 

LIBERTY HOLDINGS LTD

 

COMMON STOCK ZAR.0833

 

SOUTH AFRICA

 

22,338

 

 

 

293,062

 

 

 

LIFE HEALTHCARE GROUP HOLDIN

 

COMMON STOCK

 

SOUTH AFRICA

 

154,850

 

 

 

621,573

 

 

 

MASSMART HOLDINGS LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

19,041

 

 

 

429,987

 

 

 

MMI HOLDINGS LTD

 

COMMON STOCK ZAR.000001

 

SOUTH AFRICA

 

156,626

 

 

 

410,465

 

 

 

MR PRICE GROUP LTD

 

COMMON STOCK ZAR.00025

 

SOUTH AFRICA

 

35,724

 

 

 

596,293

 

 

 

MTN GROUP LTD

 

COMMON STOCK ZAR.0001

 

SOUTH AFRICA

 

284,412

 

 

 

5,973,057

 

 

 

MURRAY + ROBERTS HOLDINGS

 

COMMON STOCK ZAR.1

 

SOUTH AFRICA

 

77,358

 

 

 

226,443

 

 

 

NAMPAK LTD

 

COMMON STOCK ZAR.05

 

SOUTH AFRICA

 

94,543

 

 

 

355,324

 

 

 

NASPERS LTD N SHS

 

COMMON STOCK ZAR.02

 

SOUTH AFRICA

 

66,415

 

 

 

4,263,883

 

 

 

NEDBANK GROUP LTD

 

COMMON STOCK ZAR1.

 

SOUTH AFRICA

 

36,996

 

 

 

826,660

 

 

 

NETCARE LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

226,837

 

 

 

525,309

 

 

 

NORTHAM PLATINUM LTD

 

COMMON STOCK ZAR.0001

 

SOUTH AFRICA

 

28,310

 

 

 

127,806

 

 

 

OLD MUTUAL PLC

 

COMMON STOCK GBP.142857

 

SOUTH AFRICA

 

228,508

 

 

 

660,877

 

 

 

PICK N PAY STORES LTD

 

COMMON STOCK ZAR.0125

 

SOUTH AFRICA

 

42,279

 

 

 

223,271

 

 

 

PPC LTD

 

COMMON STOCK NPV

 

SOUTH AFRICA

 

96,255

 

 

 

388,951

 

 

 

REDEFINE PROPERTIES LTD

 

UNIT ZAR.001

 

SOUTH AFRICA

 

387,783

 

 

 

429,426

 

 

 

REMGRO LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

87,517

 

 

 

1,644,910

 

 

 

RESILIENT PROPERTY INCOME

 

UNIT ZAR.01

 

SOUTH AFRICA

 

57,223

 

 

 

347,840

 

 

 

REUNERT LTD

 

COMMON STOCK ZAR.1

 

SOUTH AFRICA

 

33,148

 

 

 

303,891

 

 

 

RMB HOLDINGS LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

157,743

 

 

 

764,961

 

 

68



Table of Contents

 

 

 

RMI HOLDINGS

 

COMMON STOCK ZAR.0001

 

SOUTH AFRICA

 

104,126

 

 

 

257,268

 

 

 

SANLAM LTD

 

COMMON STOCK ZAR.01

 

SOUTH AFRICA

 

345,233

 

 

 

1,845,355

 

 

 

SAPPI LIMITED

 

COMMON STOCK ZAR1.

 

SOUTH AFRICA

 

78,540

 

 

 

289,469

 

 

 

SASOL LTD

 

COMMON STOCK NPV

 

SOUTH AFRICA

 

93,595

 

 

 

4,060,100

 

 

 

SHOPRITE HOLDINGS LTD

 

COMMON STOCK ZAR1.134

 

SOUTH AFRICA

 

84,030

 

 

 

2,040,641

 

 

 

SOUTH AFRICAN RAND

 

FOREIGN CURRENCY

 

SOUTH AFRICA

 

6,129,509

 

 

 

722,445

 

 

 

SPAR GROUP LIMITED/THE

 

COMMON STOCK NPV

 

SOUTH AFRICA

 

27,691

 

 

 

430,710

 

 

 

STANDARD BANK GROUP LTD

 

COMMON STOCK ZAR.1

 

SOUTH AFRICA

 

203,900

 

 

 

2,882,806

 

 

 

STEINHOFF INTL HOLDINGS LTD

 

COMMON STOCK ZAR.005

 

SOUTH AFRICA

 

219,191

 

 

 

715,797

 

 

 

SUN INTERNATIONAL LTD

 

COMMON STOCK ZAR.08

 

SOUTH AFRICA

 

16,936

 

 

 

189,446

 

 

 

SYCOM PROPERTY FUND

 

UNIT NPV

 

SOUTH AFRICA

 

20,625

 

 

 

67,746

 

 

 

TELKOM SA SOC LTD

 

COMMON STOCK ZAR10.

 

SOUTH AFRICA

 

56,670

 

 

 

113,270

 

 

 

THE FOSCHINI GROUP LTD

 

COMMON STOCK ZAR.0125

 

SOUTH AFRICA

 

38,211

 

 

 

635,797

 

 

 

TIGER BRANDS LTD

 

COMMON STOCK ZAR.1

 

SOUTH AFRICA

 

31,447

 

 

 

1,209,900

 

 

 

TONGAAT HULETT LTD

 

COMMON STOCK ZAR1.

 

SOUTH AFRICA

 

17,085

 

 

 

271,626

 

 

 

TRUWORTHS INTERNATIONAL LTD

 

COMMON STOCK ZAR.00015

 

SOUTH AFRICA

 

85,068

 

 

 

1,101,868

 

 

 

VODACOM GROUP LTD

 

COMMON STOCK

 

SOUTH AFRICA

 

60,379

 

 

 

893,013

 

 

 

VUKILE PROPERTY FUND LTD

 

UNIT ZAR.01

 

SOUTH AFRICA

 

124,726

 

 

 

254,159

 

 

 

WOOLWORTHS HOLDINGS LTD

 

COMMON STOCK ZAR.0015

 

SOUTH AFRICA

 

149,572

 

 

 

1,255,262

 

 

 

ABENGOA SA

 

COMMON STOCK EUR1.

 

SPAIN

 

23,044

 

 

 

73,264

 

 

 

ABENGOA SA B SHARES

 

COMMON STOCK EUR.01

 

SPAIN

 

5,761

 

 

 

18,263

 

 

 

ABERTIS INFRAESTRUCTURAS SA

 

COMMON STOCK EUR3.

 

SPAIN

 

72,066

 

 

 

1,199,613

 

 

 

ACCIONA SA

 

COMMON STOCK EUR1.

 

SPAIN

 

5,282

 

 

 

400,074

 

 

 

ACERINOX SA

 

COMMON STOCK EUR.25

 

SPAIN

 

22,679

 

 

 

249,906

 

 

 

ACS ACTIVIDADES CONS Y SERV

 

COMMON STOCK EUR.5

 

SPAIN

 

23,799

 

 

 

608,349

 

 

 

ALOK INDUSTRIES LTD

 

COMMON STOCK INR10.

 

SPAIN

 

9,454

 

 

 

92,771

 

 

 

AMAGERBANKEN A/S

 

COMMON STOCK DKK3.

 

SPAIN

 

55,822

 

 

 

1,399,167

 

 

 

BANCO BILBAO VIZCAYA ARGENTA

 

COMMON STOCK EUR.49

 

SPAIN

 

809,020

 

 

 

7,418,357

 

 

 

BANCO DE SABADELL SA

 

COMMON STOCK EUR.125

 

SPAIN

 

388,619

 

 

 

1,028,530

 

 

 

BANCO POPULAR ESPANOL

 

COMMON STOCK EUR.1

 

SPAIN

 

653,976

 

 

 

503,382

 

 

 

BANCO SANTANDER SA

 

COMMON STOCK EUR.5

 

SPAIN

 

1,677,940

 

 

 

13,513,479

 

 

 

BANKIA SA

 

COMMON STOCK EUR2.

 

SPAIN

 

139,798

 

 

 

71,371

 

 

 

BANKINTER SA

 

COMMON STOCK EUR.3

 

SPAIN

 

59,553

 

 

 

248,251

 

 

 

BOLSAS Y MERCADOS ESPANOLES

 

COMMON STOCK EUR3.23

 

SPAIN

 

8,563

 

 

 

206,734

 

 

 

CAIXABANK

 

RIGHT

 

SPAIN

 

38

 

 

 

3

 

 

 

CAIXABANK S.A

 

COMMON STOCK EUR1.

 

SPAIN

 

98,633

 

 

 

344,413

 

 

 

CAIXABANK SA

 

COMMON STOCK

 

SPAIN

 

2,191

 

 

 

7,617

 

 

 

CAJA DE AHORROS DEL MEDITERR

 

COMMON STOCK EUR2.

 

SPAIN

 

23,863

 

 

 

42,158

 

 

 

COFINIMMO

 

REIT NPV

 

SPAIN

 

8,307

 

 

 

40,743

 

 

 

CONTACT ENERGY LTD

 

COMMON STOCK NPV

 

SPAIN

 

382

 

 

 

175,821

 

 

 

CORPORACION GEO SAB SER B

 

COMMON STOCK NPV

 

SPAIN

 

2,321

 

 

 

110,122

 

 

 

DISTRIBUIDORA INTERNACIONAL

 

COMMON STOCK EUR.01

 

SPAIN

 

97,608

 

 

 

626,456

 

 

 

DURO FELGUERA SA

 

COMMON STOCK EUR.5

 

SPAIN

 

25,280

 

 

 

161,669

 

 

 

ENAGAS SA

 

COMMON STOCK EUR1.5

 

SPAIN

 

31,257

 

 

 

668,085

 

 

 

ENCE ENERGIA Y CELULOSA SA

 

COMMON STOCK EUR.9

 

SPAIN

 

48,240

 

 

 

138,172

 

 

 

FAES FARMA RTS

 

EXP 11JAN13

 

SPAIN

 

36,725

 

 

 

1,646

 

 

 

FAES FARMA SA

 

COMMON STOCK EUR.1

 

SPAIN

 

36,725

 

 

 

80,439

 

 

 

FERROVIAL SA

 

COMMON STOCK EUR.2

 

SPAIN

 

89,927

 

 

 

1,324,339

 

 

 

FOMENTO DE CONSTRUC Y CONTRA

 

COMMON STOCK EUR1.

 

SPAIN

 

7,815

 

 

 

96,660

 

 

 

GAMESA CORP TECNOLOGICA SA

 

COMMON STOCK EUR.17

 

SPAIN

 

36,630

 

 

 

80,941

 

 

 

GAS NATURAL SDG SA

 

COMMON STOCK EUR1.

 

SPAIN

 

62,161

 

 

 

1,135,334

 

 

 

GRIFOLS SA

 

COMMON STOCK EUR.5

 

SPAIN

 

23,332

 

 

 

819,934

 

 

 

GRUPO CATALANA OCCIDENTE SA

 

COMMON STOCK EUR.3

 

SPAIN

 

13,661

 

 

 

249,043

 

 

 

IBERDROLA SA

 

COMMON STOCK EUR.75

 

SPAIN

 

675,811

 

 

 

3,764,156

 

 

 

IBEX 35 INDEX FUTURES

 

JAN13 XMRV

 

SPAIN

 

70

 

 

 

11,993

 

 

 

INDITEX

 

COMMON STOCK EUR.15

 

SPAIN

 

36,913

 

 

 

5,165,357

 

 

 

INDRA SISTEMAS SA

 

COMMON STOCK EUR.2

 

SPAIN

 

21,149

 

 

 

283,655

 

 

 

INTL CONSOLIDATED AIRLINE DI

 

COMMON STOCK EUR.5

 

SPAIN

 

170,860

 

 

 

504,364

 

 

 

JAZZTEL PLC

 

COMMON STOCK EUR.8

 

SPAIN

 

55,144

 

 

 

382,004

 

 

 

LABORATORIOS FARMACEUTICOS R

 

COMMON STOCK EUR.06

 

SPAIN

 

9,880

 

 

 

67,915

 

 

 

MAPFRE SA

 

COMMON STOCK EUR.1

 

SPAIN

 

156,408

 

 

 

482,181

 

 

 

MEDIASET ESPANA COMUNICACION

 

COMMON STOCK EUR.5

 

SPAIN

 

24,741

 

 

 

170,166

 

 

 

MIQUEL Y COSTAS

 

COMMON STOCK EUR2.

 

SPAIN

 

9,585

 

 

 

255,343

 

 

 

OBRASCON HUARTE LAIN S.A.

 

COMMON STOCK EUR.6

 

SPAIN

 

6,188

 

 

 

179,532

 

 

 

PAPELES Y CARTONES DE EUROPA

 

COMMON STOCK EUR2.

 

SPAIN

 

20,638

 

 

 

55,508

 

 

 

PESCANOVA SA

 

COMMON STOCK EUR6.

 

SPAIN

 

7,948

 

 

 

147,052

 

 

 

PROMOTORA DE INFORMACIONES A

 

COMMON STOCK EUR.1

 

SPAIN

 

51,401

 

 

 

16,045

 

 

 

RED ELECTRICA CORPORACION SA

 

COMMON STOCK EUR2.

 

SPAIN

 

19,980

 

 

 

986,004

 

 

 

REPSOL SA

 

RIGHT

 

SPAIN

 

135,878

 

 

 

2,787,203

 

 

 

REPSOL SA

 

COMMON STOCK EUR1.

 

SPAIN

 

135,878

 

 

 

82,763

 

 

 

TECNICAS REUNIDAS SA

 

COMMON STOCK EUR.1

 

SPAIN

 

6,329

 

 

 

293,967

 

 

 

TELEFONICA SA

 

COMMON STOCK EUR1.

 

SPAIN

 

675,888

 

 

 

9,166,923

 

 

 

TUBACEX SA

 

COMMON STOCK EUR.45

 

SPAIN

 

26,102

 

 

 

69,243

 

 

 

TUBOS REUNIDOS SA

 

COMMON STOCK EUR.1

 

SPAIN

 

29,567

 

 

 

70,513

 

 

 

VISCOFAN SA

 

COMMON STOCK EUR.7

 

SPAIN

 

13,638

 

 

 

760,051

 

 

 

ZARDOYA OTIS SA

 

COMMON STOCK EUR.1

 

SPAIN

 

27,923

 

 

 

401,994

 

 

 

ZELTIA SA

 

COMMON STOCK EUR.05

 

SPAIN

 

27,540

 

 

 

45,248

 

 

 

SRI LANKA RUPEE

 

FOREIGN CURRENCY

 

SRI LANKA

 

2,414

 

 

 

19

 

 

 

AARHUSKARLSHAMN AB

 

COMMON STOCK

 

SWEDEN

 

3,600

 

 

 

153,107

 

 

 

AF AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

24,081

 

 

 

577,827

 

 

69



Table of Contents

 

 

 

ALFA LAVAL AB

 

COMMON STOCK NPV

 

SWEDEN

 

68,969

 

 

 

1,445,131

 

 

 

ALLIANZ SE REG

 

COMMON STOCK NPV

 

SWEDEN

 

12,529

 

 

 

102,808

 

 

 

ASSA ABLOY AB B

 

COMMON STOCK NPV

 

SWEDEN

 

59,654

 

 

 

2,245,505

 

 

 

ATLAS COPCO AB A SHS

 

COMMON STOCK NPV

 

SWEDEN

 

114,605

 

 

 

3,171,500

 

 

 

ATLAS COPCO AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

62,107

 

 

 

1,523,195

 

 

 

AVANZA BANK HOLDING AB

 

COMMON STOCK NPV

 

SWEDEN

 

11,755

 

 

 

238,852

 

 

 

AXIS COMMUNICATIONS AB

 

COMMON STOCK NPV

 

SWEDEN

 

8,691

 

 

 

237,410

 

 

 

BETSSON AB

 

COMMON STOCK NPV

 

SWEDEN

 

9,198

 

 

 

285,268

 

 

 

BLACK EARTH FARMING LTD SDR

 

RECEIPT

 

SWEDEN

 

19,386

 

 

 

26,379

 

 

 

BOLIDEN AB

 

COMMON STOCK SEK2.11

 

SWEDEN

 

54,500

 

 

 

1,035,521

 

 

 

BURE EQUITY AB

 

COMMON STOCK NPV

 

SWEDEN

 

15,204

 

 

 

51,265

 

 

 

CASTELLUM AB

 

COMMON STOCK NPV

 

SWEDEN

 

18,568

 

 

 

263,888

 

 

 

CDON GROUP

 

COMMON STOCK

 

SWEDEN

 

9,764

 

 

 

60,109

 

 

 

D CARNEGIE + CO AB

 

SEK2

 

SWEDEN

 

19,469

 

 

 

0

 

 

 

EAST CAPITAL EXPLORER AB

 

COMMON STOCK

 

SWEDEN

 

8,578

 

 

 

64,552

 

 

 

EAST CAPITAL RTS

 

EXP 14JAN13

 

SWEDEN

 

8,578

 

 

 

1,806

 

 

 

ELECTROLUX AB SER B

 

COMMON STOCK NPV

 

SWEDEN

 

47,906

 

 

 

1,257,741

 

 

 

ELEKTA AB B SHS

 

COMMON STOCK SEK.5

 

SWEDEN

 

55,672

 

 

 

877,621

 

 

 

ERICSSON LM B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

503,605

 

 

 

5,063,601

 

 

 

GETINGE AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

37,645

 

 

 

1,274,815

 

 

 

GUNNEBO AB

 

COMMON STOCK NPV

 

SWEDEN

 

16,151

 

 

 

61,049

 

 

 

HENNES + MAURITZ AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

154,565

 

 

 

5,369,132

 

 

 

HEXAGON AB B SHS

 

COMMON STOCK SEK2.

 

SWEDEN

 

38,400

 

 

 

964,940

 

 

 

HEXPOL AB

 

COMMON STOCK

 

SWEDEN

 

13,055

 

 

 

689,849

 

 

 

HOLMEN AB B SHARES

 

COMMON STOCK NPV

 

SWEDEN

 

9,900

 

 

 

294,408

 

 

 

HUSQVARNA AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

76,237

 

 

 

461,965

 

 

 

INDUTRADE AB

 

COMMON STOCK

 

SWEDEN

 

3,637

 

 

 

110,045

 

 

 

INTRUM JUSTITIA AB

 

COMMON STOCK NPV

 

SWEDEN

 

8,383

 

 

 

125,354

 

 

 

INVESTMENT AB KINNEVIK B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

31,589

 

 

 

659,827

 

 

 

INVESTOR AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

75,000

 

 

 

1,966,424

 

 

 

JM AB

 

COMMON STOCK NPV

 

SWEDEN

 

11,310

 

 

 

202,489

 

 

 

KLOVERN AB

 

COMMON STOCK SEK5.

 

SWEDEN

 

54,973

 

 

 

216,444

 

 

 

KUNGSLEDEN AB

 

COMMON STOCK NPV

 

SWEDEN

 

18,872

 

 

 

103,440

 

 

 

LOOMIS AB B

 

COMMON STOCK NPV

 

SWEDEN

 

11,951

 

 

 

192,023

 

 

 

LUNDIN PETROLEUM AB

 

COMMON STOCK NPV

 

SWEDEN

 

46,737

 

 

 

1,078,029

 

 

 

MEDA AB A SHS

 

COMMON STOCK NPV

 

SWEDEN

 

33,734

 

 

 

347,548

 

 

 

MEKONOMEN AB

 

COMMON STOCK

 

SWEDEN

 

2,661

 

 

 

84,741

 

 

 

MILLICOM INTL CELLULAR SDR

 

RECEIPT USD1.5

 

SWEDEN

 

13,257

 

 

 

1,151,841

 

 

 

MODERN TIMES GROUP B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

9,764

 

 

 

341,963

 

 

 

NIBE INDUSTRIER AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

11,603

 

 

 

167,832

 

 

 

NOBIA AB

 

COMMON STOCK NPV

 

SWEDEN

 

40,512

 

 

 

164,769

 

 

 

NORDEA BANK AB

 

COMMON STOCK NPV

 

SWEDEN

 

425,535

 

 

 

4,073,992

 

 

 

NORDNET AB B SHARES

 

COMMON STOCK NPV

 

SWEDEN

 

46,813

 

 

 

121,804

 

 

 

ORIFLAME COSMETICS SA SDR

 

RECEIPT NPV

 

SWEDEN

 

6,850

 

 

 

218,656

 

 

 

PEAB AB

 

COMMON STOCK NPV

 

SWEDEN

 

21,120

 

 

 

101,208

 

 

 

RATOS AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

33,000

 

 

 

317,755

 

 

 

REZIDOR HOTEL GROUP AB

 

COMMON STOCK NPV

 

SWEDEN

 

39,128

 

 

 

139,914

 

 

 

SANDVIK AB

 

COMMON STOCK NPV

 

SWEDEN

 

168,881

 

 

 

2,713,385

 

 

 

SAS AB

 

COMMON STOCK NPV

 

SWEDEN

 

18,277

 

 

 

22,367

 

 

 

SCANIA AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

59,784

 

 

 

1,242,954

 

 

 

SECURITAS AB B SHS

 

COMMON STOCK SEK1.

 

SWEDEN

 

59,760

 

 

 

524,758

 

 

 

SKANDINAVISKA ENSKILDA BAN A

 

COMMON STOCK NPV

 

SWEDEN

 

254,037

 

 

 

2,165,555

 

 

 

SKANSKA AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

70,852

 

 

 

1,165,304

 

 

 

SKF AB B SHARES

 

COMMON STOCK SEK2.5

 

SWEDEN

 

72,832

 

 

 

1,842,329

 

 

 

SSAB AB A SHARES

 

COMMON STOCK NPV

 

SWEDEN

 

34,125

 

 

 

300,811

 

 

 

SVENSKA CELLULOSA AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

101,456

 

 

 

2,220,154

 

 

 

SVENSKA HANDELSBANKEN A SHS

 

COMMON STOCK NPV

 

SWEDEN

 

84,653

 

 

 

3,032,043

 

 

 

SWEDBANK AB A SHARES

 

COMMON STOCK NPV

 

SWEDEN

 

142,335

 

 

 

2,799,934

 

 

 

SWEDISH KRONA

 

FOREIGN CURRENCY

 

SWEDEN

 

2,377,345

 

 

 

365,439

 

 

 

SWEDISH MATCH AB

 

COMMON STOCK NPV

 

SWEDEN

 

42,798

 

 

 

1,440,960

 

 

 

TELE2 AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

58,275

 

 

 

1,056,519

 

 

 

TELIASONERA AB

 

COMMON STOCK NPV

 

SWEDEN

 

359,414

 

 

 

2,447,285

 

 

 

TRELLEBORG AB B SHS

 

COMMON STOCK SEK25.

 

SWEDEN

 

34,679

 

 

 

432,514

 

 

 

VOLVO AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

231,153

 

 

 

3,186,402

 

 

 

VOSTOK NAFTA INVESTMENT SDR

 

RECEIPT

 

SWEDEN

 

55,825

 

 

 

167,609

 

 

 

WALLENSTAM AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

11,877

 

 

 

145,838

 

 

 

WIHLBORGS FASTIGHETER AB

 

COMMON STOCK NPV

 

SWEDEN

 

8,576

 

 

 

134,700

 

 

 

ABB LTD REG

 

COMMON STOCK CHF1.03

 

SWITZERLAND

 

368,422

 

 

 

7,644,029

 

 

 

ACINO HOLDING AG REG

 

COMMON STOCK CHF.4

 

SWITZERLAND

 

777

 

 

 

93,523

 

 

 

ACTELION LTD REG

 

COMMON STOCK CHF.5

 

SWITZERLAND

 

18,644

 

 

 

894,859

 

 

 

ADECCO SA REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

23,463

 

 

 

1,242,722

 

 

 

ALMIRALL SA

 

COMMON STOCK EUR.12

 

SWITZERLAND

 

1,552

 

 

 

239,746

 

 

 

AMTEK AUTO LTD

 

COMMON STOCK INR2.

 

SWITZERLAND

 

4,176

 

 

 

447,494

 

 

 

ARYZTA AG

 

COMMON STOCK CHF.02

 

SWITZERLAND

 

15,429

 

 

 

791,028

 

 

 

ASCOM HOLDING AG REG

 

COMMON STOCK CHF.5

 

SWITZERLAND

 

5,250

 

 

 

50,787

 

 

 

BALOISE HOLDING AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

10,016

 

 

 

873,417

 

 

 

BANQUE CANTONALE VAUDOIS REG

 

COMMON STOCK CHF10.

 

SWITZERLAND

 

389

 

 

 

206,347

 

 

 

BARRY CALLEBAUT AG REG

 

COMMON STOCK CHF18.6

 

SWITZERLAND

 

243

 

 

 

234,467

 

 

 

BASILEA PHARMACEUTICA REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

920

 

 

 

44,985

 

 

 

BOBST GROUP AG REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

1,070

 

 

 

30,466

 

 

70



Table of Contents

 

 

 

BUCHER INDUSTRIES AG REG

 

COMMON STOCK CHF.2

 

SWITZERLAND

 

906

 

 

 

179,109

 

 

 

BURCKHARDT COMPRESSION HOLDI

 

COMMON STOCK CHF2.5

 

SWITZERLAND

 

407

 

 

 

133,387

 

 

 

CIE FINANCIERE RICHEMON BR A

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

90,643

 

 

 

7,242,586

 

 

 

CLARION CO LTD

 

COMMON STOCK

 

SWITZERLAND

 

39,118

 

 

 

532,621

 

 

 

CRESCENT POINT ENERGY CORP

 

COMMON STOCK NPV

 

SWITZERLAND

 

196,773

 

 

 

4,933,522

 

 

 

DUFRY AG REG

 

COMMON STOCK CHF5.

 

SWITZERLAND

 

2,793

 

 

 

369,296

 

 

 

EFG INTERNATIONAL AG

 

COMMON STOCK CHF.5

 

SWITZERLAND

 

10,127

 

 

 

99,191

 

 

 

EMS CHEMIE HOLDING AG REG

 

COMMON STOCK CHF.01

 

SWITZERLAND

 

1,584

 

 

 

373,312

 

 

 

FISCHER (GEORG) REG

 

COMMON STOCK CHF10.

 

SWITZERLAND

 

519

 

 

 

209,013

 

 

 

FLUGHAFEN ZUERICH AG REG

 

COMMON STOCK CHF50.

 

SWITZERLAND

 

624

 

 

 

288,840

 

 

 

GALENICA AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

721

 

 

 

418,112

 

 

 

GAM HOLDING AG

 

COMMON STOCK CHF.05

 

SWITZERLAND

 

40,542

 

 

 

556,701

 

 

 

GATEGROUP HOLDING AG

 

COMMON STOCK CHF5.

 

SWITZERLAND

 

7,467

 

 

 

196,450

 

 

 

GEBERIT AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

7,527

 

 

 

1,665,039

 

 

 

GIVAUDAN REG

 

COMMON STOCK CHF10.

 

SWITZERLAND

 

1,423

 

 

 

1,507,478

 

 

 

HELVETIA HOLDING AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

732

 

 

 

277,852

 

 

 

HOLCIM LTD REG

 

COMMON STOCK CHF2.

 

SWITZERLAND

 

38,089

 

 

 

2,803,223

 

 

 

HUBER + SUHNER AG REG

 

COMMON STOCK CHF.25

 

SWITZERLAND

 

4,170

 

 

 

199,590

 

 

 

INFICON HOLDING AG REG

 

COMMON STOCK CHF5.

 

SWITZERLAND

 

321

 

 

 

76,924

 

 

 

JULIUS BAER GROUP LTD

 

COMMON STOCK CHF.02

 

SWITZERLAND

 

44,736

 

 

 

1,608,310

 

 

 

KABA HOLDING AG REG B

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

366

 

 

 

155,036

 

 

 

KUDELSKI SA BR

 

COMMON STOCK CHF10.

 

SWITZERLAND

 

3,031

 

 

 

31,711

 

 

 

KUEHNE + NAGEL INTL AG REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

10,321

 

 

 

1,255,113

 

 

 

KUONI REISEN HLDG REG(CAT B)

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

929

 

 

 

278,332

 

 

 

LINDT + SPRUENGLI AG PC

 

COMMON STOCK CHF10.

 

SWITZERLAND

 

155

 

 

 

505,142

 

 

 

LINDT + SPRUENGLI AG REG

 

COMMON STOCK CHF100.

 

SWITZERLAND

 

19

 

 

 

716,470

 

 

 

LOGITECH INTERNATIONAL REG

 

COMMON STOCK CHF.25

 

SWITZERLAND

 

32,951

 

 

 

251,038

 

 

 

LONZA GROUP AG REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

9,147

 

 

 

494,361

 

 

 

MEYER BURGER TECHNOLOGY AG

 

COMMON STOCK CHF.05

 

SWITZERLAND

 

5,679

 

 

 

42,330

 

 

 

MOBIMO HOLDING AG REG

 

COMMON STOCK CHF29.

 

SWITZERLAND

 

959

 

 

 

229,587

 

 

 

NESTLE SA REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

542,398

 

 

 

35,323,275

 

 

 

NOBEL BIOCARE HOLDING AG REG

 

COMMON STOCK CHF.4

 

SWITZERLAND

 

22,763

 

 

 

193,594

 

 

 

NOVARTIS AG REG

 

COMMON STOCK CHF.5

 

SWITZERLAND

 

375,126

 

 

 

23,731,633

 

 

 

OC OERLIKON CORP AG REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

34,280

 

 

 

392,470

 

 

 

PANALPINA WELTTRANSPORT REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

2,327

 

 

 

236,394

 

 

 

PARGESA HOLDING SA BR

 

COMMON STOCK CHF20.

 

SWITZERLAND

 

5,213

 

 

 

360,471

 

 

 

PARTNERS GROUP HOLDING AG

 

COMMON STOCK CHF.01

 

SWITZERLAND

 

2,034

 

 

 

469,437

 

 

 

PSP SWISS PROPERTY AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

5,874

 

 

 

557,039

 

 

 

ROCHE HOLDING AG GENUSSCHEIN

 

COMMON STOCK NPV

 

SWITZERLAND

 

116,167

 

 

 

23,648,013

 

 

 

SCHINDLER HOLDING AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

500

 

 

 

70,812

 

 

 

SCHINDLER HOLDING PART CERT

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

9,643

 

 

 

1,391,781

 

 

 

SCHWEITER TECHNOLOGIES AG BR

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

308

 

 

 

176,154

 

 

 

SCHWEIZERISCHE NATL V AG REG

 

COMMON STOCK CHF.4

 

SWITZERLAND

 

1,050

 

 

 

46,575

 

 

 

SGS SA REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

912

 

 

 

2,024,409

 

 

 

SIKA AG BR

 

COMMON STOCK CHF.6

 

SWITZERLAND

 

374

 

 

 

866,128

 

 

 

SONOVA HOLDING AG REG

 

COMMON STOCK CHF.05

 

SWITZERLAND

 

8,916

 

 

 

987,023

 

 

 

ST GALLER KANTONALBANK A REG

 

COMMON STOCK CHF70.

 

SWITZERLAND

 

425

 

 

 

174,818

 

 

 

STRAUMANN HOLDING AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

1,469

 

 

 

181,427

 

 

 

SULZER AG REG

 

COMMON STOCK CHF.01

 

SWITZERLAND

 

5,187

 

 

 

821,398

 

 

 

SWATCH GROUP AG/THE BR

 

COMMON STOCK CHF2.25

 

SWITZERLAND

 

5,867

 

 

 

3,017,051

 

 

 

SWATCH GROUP AG/THE REG

 

COMMON STOCK CHF.45

 

SWITZERLAND

 

8,067

 

 

 

703,994

 

 

 

SWISS FRANC

 

FOREIGN CURRENCY

 

SWITZERLAND

 

(10,000)

 

 

 

(10,925)

 

 

 

SWISS LIFE HOLDING AG REG

 

COMMON STOCK CHF5.1

 

SWITZERLAND

 

5,328

 

 

 

710,551

 

 

 

SWISS PRIME SITE REG

 

COMMON STOCK CHF15.3

 

SWITZERLAND

 

7,350

 

 

 

614,523

 

 

 

SWISS RE AG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

58,614

 

 

 

4,274,628

 

 

 

SWISSCOM AG REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

3,831

 

 

 

1,651,016

 

 

 

SWISSQUOTE GROUP HOLDING REG

 

COMMON STOCK CHF.2

 

SWITZERLAND

 

1,905

 

 

 

59,963

 

 

 

SYNGENTA AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

15,620

 

 

 

6,296,025

 

 

 

TECAN GROUP AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

2,878

 

 

 

240,993

 

 

 

TEMENOS GROUP AG REG

 

COMMON STOCK CHF5.

 

SWITZERLAND

 

8,962

 

 

 

157,857

 

 

 

TRANSOCEAN LTD

 

COMMON STOCK CHF15.

 

SWITZERLAND

 

60,365

 

 

 

2,695,136

 

 

 

UBS AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

613,288

 

 

 

9,637,298

 

 

 

VALIANT HOLDING AG REG

 

COMMON STOCK CHF.5

 

SWITZERLAND

 

3,197

 

 

 

306,258

 

 

 

VALORA HOLDING AG REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

654

 

 

 

132,379

 

 

 

VERWALTUNGS UND PRIVAT BA BR

 

COMMON STOCK CHF10.

 

SWITZERLAND

 

321

 

 

 

22,742

 

 

 

VON ROLL HOLDING AG BR

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

6,307

 

 

 

14,130

 

 

 

VONTOBEL HOLDING AG REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

3,418

 

 

 

105,456

 

 

 

ZUEBLIN IMMOBILIEN HOLDI REG

 

COMMON STOCK CHF1.

 

SWITZERLAND

 

31,967

 

 

 

94,414

 

 

 

ZURICH INSURANCE GROUP AG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

23,474

 

 

 

6,271,952

 

 

 

A DATA TECHNOLOGY CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

30,000

 

 

 

32,402

 

 

 

ACBEL POLYTECH INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

19,095

 

 

 

13,553

 

 

 

ACCTON TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

319,685

 

 

 

178,238

 

 

 

ACER INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

385,777

 

 

 

336,519

 

 

 

ADVANCED SEMICONDUCTOR ENGR

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

924,147

 

 

 

801,886

 

 

 

ADVANTECH CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

43,422

 

 

 

183,532

 

 

 

ALI CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

19,019

 

 

 

22,109

 

 

 

ASIA CEMENT CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

306,541

 

 

 

395,727

 

 

 

ASIA OPTICAL CO INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

23,931

 

 

 

22,465

 

 

 

ASIA VITAL COMPONENTS

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

446,322

 

 

 

239,802

 

 

 

ASUSTEK COMPUTER INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

109,172

 

 

 

1,232,742

 

 

71



Table of Contents

 

 

 

AU OPTRONICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,190,552

 

 

 

538,605

 

 

 

CATCHER TECHNOLOGY CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

96,134

 

 

 

481,136

 

 

 

CATHAY FINANCIAL HOLDING CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,147,431

 

 

 

1,246,621

 

 

 

CATHAY REAL ESTATE DEVELOPME

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

128,192

 

 

 

62,865

 

 

 

CHALLENGER LTD

 

COMMON STOCK NPV

 

TAIWAN, PROVINCE OF CHINA

 

727,754

 

 

 

401,357

 

 

 

CHANG HWA COMMERCIAL BANK

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

6,911

 

 

 

21,934

 

 

 

CHEMRING GROUP PLC

 

COMMON STOCK GBP.01

 

TAIWAN, PROVINCE OF CHINA

 

336,599

 

 

 

876,249

 

 

 

CHENG SHIN RUBBER IND CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

92,919

 

 

 

201,713

 

 

 

CHINA AGRI INDUSTRIES HLDGS

 

COMMON STOCK HKD.1

 

TAIWAN, PROVINCE OF CHINA

 

449,278

 

 

 

185,910

 

 

 

CHINA BLUECHEMICAL LTD H

 

COMMON STOCK HKD1.

 

TAIWAN, PROVINCE OF CHINA

 

171,000

 

 

 

122,517

 

 

 

CHINA DAYE NON FERROUS METAL

 

COMMON STOCK HKD.05

 

TAIWAN, PROVINCE OF CHINA

 

2,022,020

 

 

 

538,112

 

 

 

CHINA MOBILE LTD

 

COMMON STOCK HKD.1

 

TAIWAN, PROVINCE OF CHINA

 

191,899

 

 

 

182,224

 

 

 

CHINA PACIFIC INSURANCE GR H

 

COMMON STOCK CNY1.

 

TAIWAN, PROVINCE OF CHINA

 

395,975

 

 

 

246,886

 

 

 

CHINA STEEL CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,854,879

 

 

 

1,751,069

 

 

 

CHINATRUST FINANCIAL HOLDING

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,789,329

 

 

 

1,060,856

 

 

 

CHINESE GAMER INTERNATIONAL

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

10,000

 

 

 

23,541

 

 

 

CHIPBOND TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

338,000

 

 

 

667,502

 

 

 

CHUNGHWA PICTURE TUBES LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

416,685

 

 

 

13,971

 

 

 

CHUNGHWA TELECOM CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

661,473

 

 

 

2,152,395

 

 

 

CMIC HOLDINGS CO LTD

 

COMMON STOCK

 

TAIWAN, PROVINCE OF CHINA

 

373,000

 

 

 

63,049

 

 

 

COMPAL ELECTRONICS

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

27,562

 

 

 

30,987

 

 

 

COMPASS GROUP PLC

 

COMMON STOCK GBP.1

 

TAIWAN, PROVINCE OF CHINA

 

626,092

 

 

 

423,643

 

 

 

CONNACHER OIL + GAS LTD

 

COMMON STOCK NPV

 

TAIWAN, PROVINCE OF CHINA

 

765,928

 

 

 

175,187

 

 

 

D LINK CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

108,399

 

 

 

68,650

 

 

 

DELTA ELECTRONICS INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

281,189

 

 

 

1,037,530

 

 

 

E.SUN FINANCIAL HOLDING CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

664,586

 

 

 

373,141

 

 

 

ELAN MICROELECTRONICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

110,220

 

 

 

178,448

 

 

 

ELITE SEMICONDUCTOR MEMORY

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

168,000

 

 

 

127,351

 

 

 

EPISTAR CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

110,393

 

 

 

201,773

 

 

 

ETERNAL CHEMICAL CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

88,169

 

 

 

76,587

 

 

 

EVA AIRWAYS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

331,207

 

 

 

194,116

 

 

 

EVERGREEN MARINE CORP LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

196,163

 

 

 

117,578

 

 

 

EVERLIGHT ELECTRONICS CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

46,845

 

 

 

61,879

 

 

 

FAR EASTERN DEPARTMENT STORE

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

155,198

 

 

 

161,567

 

 

 

FAR EASTERN NEW CENTURY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

522,483

 

 

 

600,211

 

 

 

FAR EASTONE TELECOMM CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

297,000

 

 

 

758,849

 

 

 

FARADAY TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

95,660

 

 

 

127,235

 

 

 

FEDERAL CORPORATION

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

84,137

 

 

 

64,491

 

 

 

FIRICH ENTERPRISES CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

33,664

 

 

 

46,751

 

 

 

FIRST FINANCIAL HOLDING CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,073,942

 

 

 

657,034

 

 

 

FIRST HOTEL

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

127,808

 

 

 

87,525

 

 

 

FLYTECH TECHNOLOGY CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

82,574

 

 

 

194,391

 

 

 

FORHOUSE CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

201,006

 

 

 

108,013

 

 

 

FORMOSA CHEMICALS + FIBRE

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

489,886

 

 

 

1,269,816

 

 

 

FORMOSA EPITAXY INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

115,768

 

 

 

82,101

 

 

 

FORMOSA PETROCHEMICAL CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

271,920

 

 

 

808,084

 

 

 

FORMOSA PLASTICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

738,008

 

 

 

2,005,560

 

 

 

FORMOSA TAFFETA CO.

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

119,319

 

 

 

115,352

 

 

 

FOXCONN TECHNOLOGY CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

112,148

 

 

 

353,152

 

 

 

FUBON FINANCIAL HOLDING CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

937,938

 

 

 

1,138,480

 

 

 

G SHANK ENTERPRISE CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

62,830

 

 

 

37,693

 

 

 

GENIUS ELECTRONIC OPTICAL CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

25,350

 

 

 

186,486

 

 

 

GETIN HOLDING SA

 

COMMON STOCK PLN1.

 

TAIWAN, PROVINCE OF CHINA

 

124,000

 

 

 

67,817

 

 

 

GLOBAL MIXED MODE TECHNOLOGY

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

6,079

 

 

 

23,459

 

 

 

GLOBAL UNICHIP CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

35,079

 

 

 

121,937

 

 

 

GLOBE UNION INDUSTRIAL CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

203,000

 

 

 

105,238

 

 

 

HANNSTAR DISPLAY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

372,981

 

 

 

41,996

 

 

 

HANNSTOUCH SOLUTION INCORPOR

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

604,149

 

 

 

213,396

 

 

 

HEY SONG CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

248,000

 

 

 

330,214

 

 

 

HON HAI PRECISION INDUSTRY

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,709,108

 

 

 

5,268,654

 

 

 

HOTAI MOTOR COMPANY LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

47,000

 

 

 

378,955

 

 

 

HTC CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

122,077

 

 

 

1,266,944

 

 

 

HUA ENG WIRE + CABLE CO. LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

128,000

 

 

 

55,248

 

 

 

HUA NAN FINANCIAL HOLDINGS C

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

789,268

 

 

 

457,890

 

 

 

HUNG SHENG CONSTRUCTION CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,189,100

 

 

 

686,694

 

 

 

I CHIUN PRECISION IND CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

90,978

 

 

 

56,101

 

 

 

ICHIA TECHNOLOGIES INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

145,000

 

 

 

74,232

 

 

 

ICP ELECTRONICS INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

80,960

 

 

 

110,936

 

 

 

INNOLUX CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

798,923

 

 

 

432,819

 

 

 

INOTERA MEMORIES INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

597,027

 

 

 

79,866

 

 

 

INVENTEC CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

313,445

 

 

 

120,198

 

 

 

ITE TECHNOLOGY INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

28,000

 

 

 

22,789

 

 

 

JESS LINK PRODUCTS CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

40,309

 

 

 

36,466

 

 

 

KEE TAI PROPERTIES CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

438,210

 

 

 

304,200

 

 

 

KERRY TJ LOGISTICS CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

179,000

 

 

 

302,600

 

 

 

KINDOM CONSTRUCTION CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

277,000

 

 

 

204,854

 

 

 

KING S TOWN CONSTRUCTION CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

73,483

 

 

 

81,458

 

 

 

KINKO OPTICAL CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

360,409

 

 

 

397,751

 

 

 

KINSUS INTERCONNECT TECH

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

63,180

 

 

 

198,897

 

 

 

KUOYANG CONSTRUCTION

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

189,000

 

 

 

107,016

 

 

72



Table of Contents

 

 

 

KWONG FONG INDUSTRIES

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

375,200

 

 

 

226,460

 

 

 

LARGAN PRECISION CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

15,799

 

 

 

428,401

 

 

 

LEALEA ENTERPRISE

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

563,949

 

 

 

224,342

 

 

 

LEOFOO DEVELOPMENT

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

299,768

 

 

 

169,394

 

 

 

LI PENG ENTERPRISE CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

418,131

 

 

 

148,214

 

 

 

LITE ON TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

321,709

 

 

 

428,248

 

 

 

LONG CHEN PAPER

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

238,026

 

 

 

66,213

 

 

 

MACRONIX INTERNATIONAL

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

463,050

 

 

 

139,027

 

 

 

MEDIATEK INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

198,847

 

 

 

2,224,342

 

 

 

MEGA FINANCIAL HOLDING CO LT

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,479,841

 

 

 

1,156,771

 

 

 

MERCURIES + ASSOCIATES LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

825,570

 

 

 

757,111

 

 

 

MIN AIK TECHNOLOGY CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

72,450

 

 

 

222,749

 

 

 

MITAC INTERNATIONAL

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

156,931

 

 

 

56,470

 

 

 

MOTECH INDUSTRIES INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

26,348

 

 

 

25,079

 

 

 

MPI CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

57,680

 

 

 

108,481

 

 

 

MSTAR SEMICONDUCTOR INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

47,000

 

 

 

353,953

 

 

 

NAN YA PLASTICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

878,422

 

 

 

1,701,115

 

 

 

NAN YA PRINTED CIRCUIT BOARD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

27,988

 

 

 

34,784

 

 

 

NATIONAL PETROLEUM CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

167,000

 

 

 

171,198

 

 

 

NEW TAIWAN DOLLAR

 

FOREIGN CURRENCY

 

TAIWAN, PROVINCE OF CHINA

 

125,668,275

 

 

 

4,327,569

 

 

 

NOVATEK MICROELECTRONICS COR

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

75,822

 

 

 

311,337

 

 

 

OPTOTECH CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

38,000

 

 

 

15,904

 

 

 

PAN INTERNATIONAL INDUSTRIAL

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

124,800

 

 

 

116,833

 

 

 

PEGATRON CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

240,853

 

 

 

313,366

 

 

 

PHISON ELECTRONICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

32,229

 

 

 

214,561

 

 

 

PIXART IMAGING INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

41,509

 

 

 

99,334

 

 

 

POU CHEN

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

383,520

 

 

 

403,968

 

 

 

POWERTECH TECHNOLOGY INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

120,897

 

 

 

198,394

 

 

 

PRESIDENT CHAIN STORE CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

97,608

 

 

 

523,535

 

 

 

PROMOS TECHNOLOGIES INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

602,750

 

 

 

0

 

 

 

QISDA CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

317,955

 

 

 

80,310

 

 

 

QUANTA COMPUTER INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

393,511

 

 

 

930,275

 

 

 

RADIUM LIFE TECH CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

126,308

 

 

 

107,537

 

 

 

REALTEK SEMICONDUCTOR CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

58,297

 

 

 

123,278

 

 

 

RICH DEVELOPMENT CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

403,131

 

 

 

213,483

 

 

 

RICHTEK TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

16,765

 

 

 

98,304

 

 

 

SAMPO CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

520,316

 

 

 

177,379

 

 

 

SANYANG INDUSTRIAL CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

179,140

 

 

 

109,451

 

 

 

SHIN KONG FINANCIAL HOLDING

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

974,465

 

 

 

276,081

 

 

 

SHINING BUILDING BUSINESS CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

55,102

 

 

 

44,183

 

 

 

SHINKONG TEXTILE CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

166,000

 

 

 

231,842

 

 

 

SILICONWARE PRECISION INDS

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

454,259

 

 

 

486,175

 

 

 

SINBON ELECTRONINCS CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

253,000

 

 

 

231,227

 

 

 

SINO AMERICAN SILICON PRODUC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

44,013

 

 

 

52,678

 

 

 

SINOPAC FINANCIAL HOLDINGS

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,064,483

 

 

 

458,959

 

 

 

SOUTHEAST CEMENT CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,724,000

 

 

 

840,172

 

 

 

ST SHINE OPTICAL CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

12,008

 

 

 

182,754

 

 

 

SYNNEX TECHNOLOGY INTL CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

200,715

 

 

 

372,926

 

 

 

TA I TECHNOLOGY CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

70,532

 

 

 

42,893

 

 

 

TA YA ELECTRIC WIRE + CABLE

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

292,900

 

 

 

72,142

 

 

 

TAH HSIN INDUSTRIAL CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

20,000

 

 

 

20,097

 

 

 

TAIFLEX SCIENTIFIC CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

109,317

 

 

 

138,239

 

 

 

TAISHIN FINANCIAL HOLDING

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

952,790

 

 

 

379,409

 

 

 

TAIWAN CEMENT

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

560,615

 

 

 

752,352

 

 

 

TAIWAN COOPERATIVE FINANCIAL

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

812,504

 

 

 

458,946

 

 

 

TAIWAN FERTILIZER CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

110,000

 

 

 

292,350

 

 

 

TAIWAN GLASS IND CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

207,905

 

 

 

215,981

 

 

 

TAIWAN MOBILE CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

277,528

 

 

 

1,025,408

 

 

 

TAIWAN PAIHO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

176,389

 

 

 

107,523

 

 

 

TAIWAN SECOM

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

34,016

 

 

 

76,253

 

 

 

TAIWAN SEMICONDUCTOR MANUFAC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

4,184,363

 

 

 

14,004,697

 

 

 

TAIWAN SURFACE MOUNTING TECH

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

28,709

 

 

 

43,831

 

 

 

TAIWAN TEA CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

129,607

 

 

 

70,911

 

 

 

TATUNG CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

412,828

 

 

 

104,848

 

 

 

TECO ELECTRIC + MACHINERY

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

373,775

 

 

 

287,174

 

 

 

TEST RESEARCH INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

54,295

 

 

 

101,549

 

 

 

TONG HSING ELECTRONIC INDUST

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

29,871

 

 

 

104,980

 

 

 

TONG TAI MACHINE + TOOL CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

206,054

 

 

 

157,323

 

 

 

TOPCO SCIENTIFIC CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

195,261

 

 

 

322,698

 

 

 

TOPCO TECHNOLOGIES CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

17,452

 

 

 

37,144

 

 

 

TRANSCEND INFORMATION INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

49,566

 

 

 

138,423

 

 

 

TRIPOD TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

78,366

 

 

 

169,145

 

 

 

TSANN KUEN ENTERPRISE CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

347,914

 

 

 

696,728

 

 

 

TUNG HO STEEL ENTERPRISE COR

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

127,419

 

 

 

130,766

 

 

 

U MING MARINE TRANSPORT CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

65,000

 

 

 

104,312

 

 

 

UNI PRESIDENT ENTERPRISES CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

694,846

 

 

 

1,278,158

 

 

 

UNIMICRON TECHNOLOGY CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

181,805

 

 

 

193,867

 

 

 

UNITED INTEGRATED SERVICES

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

79,000

 

 

 

66,514

 

 

 

UNITED MICROELECTRONICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

2,141,021

 

 

 

866,143

 

 

 

UNITY OPTO TECHNOLOGY CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

206,302

 

 

 

196,216

 

 

73



Table of Contents

 

 

 

VANGUARD INTERNATIONAL SEMI

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

137,691

 

 

 

96,903

 

 

 

VIA TECHNOLOGIES INC

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

100,870

 

 

 

80,445

 

 

 

WAFER WORKS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

34,600

 

 

 

17,558

 

 

 

WALSIN LIHWA CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

609,696

 

 

 

209,071

 

 

 

WAN HAI LINES LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

275,453

 

 

 

159,754

 

 

 

WINBOND ELECTRONICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

465,843

 

 

 

81,688

 

 

 

WINTEK CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

221,871

 

 

 

118,749

 

 

 

WISTRON CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

299,193

 

 

 

311,733

 

 

 

WPG HOLDINGS LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

178,795

 

 

 

235,208

 

 

 

WT MICROELECTRONICS CO LTD

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

709,509

 

 

 

884,358

 

 

 

YAGEO CORPORATION

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

320,440

 

 

 

101,912

 

 

 

YANG MING MARINE TRANSPORT

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

279,161

 

 

 

134,337

 

 

 

YOUNGTEK ELECTRONICS CORP

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

7,274

 

 

 

16,430

 

 

 

YUANTA FINANCIAL HOLDING CO

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

1,173,800

 

 

 

607,363

 

 

 

YULON MOTOR COMPANY

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

147,492

 

 

 

283,902

 

 

 

ZINWELL CORPORATION

 

COMMON STOCK TWD10.

 

TAIWAN, PROVINCE OF CHINA

 

43,690

 

 

 

37,526

 

 

 

ADVANCED INFO SERVICE FOR RG

 

COMMON STOCK THB1. A

 

THAILAND

 

156,498

 

 

 

1,069,241

 

 

 

AMBUJA CEMENTS LTD

 

COMMON STOCK INR2.

 

THAILAND

 

508,228

 

 

 

269,150

 

 

 

BANGKOK BANK PCL FOREIGN REG

 

COMMON STOCK THB10. A

 

THAILAND

 

193,900

 

 

 

1,239,211

 

 

 

BANGKOK BANK PUBLIC CO LTD

 

COMMON STOCK THB10. L

 

THAILAND

 

77,500

 

 

 

495,301

 

 

 

BANGKOK EXPRESSWAY PUB FORGN

 

COMMON STOCK THB10. A

 

THAILAND

 

297,500

 

 

 

337,958

 

 

 

BANPU PUBLIC CO LTD FOR REG

 

COMMON STOCK THB10. A

 

THAILAND

 

29,600

 

 

 

398,666

 

 

 

BEC WORLD PCL FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

162,800

 

 

 

377,862

 

 

 

BUMRUNGRAD HOSPITAL FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

156,600

 

 

 

378,830

 

 

 

CALCOMP ELECTRONICS (THAI) F

 

COMMON STOCK A

 

THAILAND

 

1,071,500

 

 

 

112,789

 

 

 

CPFL ENERGIA SA

 

COMMON STOCK NPV

 

THAILAND

 

821,700

 

 

 

1,235,639

 

 

 

G STEEL PCL FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

1,014,000

 

 

 

11,270

 

 

 

G STEEL PCL FOREIGN

 

EXP 12OCT12

 

THAILAND

 

67,600

 

 

 

0

 

 

 

GLOW ENERGY PCL FOREIGN

 

COMMON STOCK THB10. A

 

THAILAND

 

86,600

 

 

 

219,402

 

 

 

HEMARAJ LAND DEVELOPMENT FOR

 

COMMON STOCK THB.4 A

 

THAILAND

 

3,100,500

 

 

 

306,097

 

 

 

IRPC PCL FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

1,580,600

 

 

 

212,882

 

 

 

ITALIAN THAI DEVELOP FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

1,572,600

 

 

 

215,918

 

 

 

ITF FIN + SECS

 

THB10(ALIEN MKT)

 

THAILAND

 

2,750

 

 

 

0

 

 

 

KASIKORNBANK PCL FOREIGN

 

COMMON STOCK THB10. A

 

THAILAND

 

337,300

 

 

 

2,133,624

 

 

 

KIATNAKIN BANK PCL FOR

 

COMMON STOCK A

 

THAILAND

 

83,800

 

 

 

132,864

 

 

 

KRUNG THAI BANK PUB CO FOREI

 

COMMON STOCK THB5.15 A

 

THAILAND

 

793,750

 

 

 

508,581

 

 

 

LPN DEVELOPMENT PCL FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

313,800

 

 

 

183,623

 

 

 

PRUKSA REAL ESTATE FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

502,700

 

 

 

346,746

 

 

 

PTT EXPLORATION + PROD FOR

 

COMMON STOCK THB1. A

 

THAILAND

 

265,912

 

 

 

1,425,615

 

 

 

PTT GLOBAL CHEMICAL PCL FOR

 

COMMON STOCK THB10 A

 

THAILAND

 

154,624

 

 

 

1,678,168

 

 

 

PTT PCL/FOREIGN

 

COMMON STOCK THB10. A

 

THAILAND

 

454,442

 

 

 

1,039,913

 

 

 

QUALITY HOUSE PCL FOREIGN

 

COMMON STOCK THB1. A

 

THAILAND

 

1,811,875

 

 

 

126,754

 

 

 

SAHAVIRIYA STEEL INDUS FOREI

 

COMMON STOCK THB1. A

 

THAILAND

 

1,266,240

 

 

 

24,422

 

 

 

SIAM CEMENT PUB CO FOR REG

 

COMMON STOCK THB1. A

 

THAILAND

 

73,300

 

 

 

1,054,331

 

 

 

SIAM COMMERCIAL BANK FOREIGN

 

COMMON STOCK THB10. A

 

THAILAND

 

300,525

 

 

 

1,783,108

 

 

 

THAI AIRWAYS INTL PCL FOR

 

COMMON STOCK THB10. A

 

THAILAND

 

132,800

 

 

 

95,942

 

 

 

THAI VEGETABLE OIL PCL FOR

 

COMMON STOCK THB1. A

 

THAILAND

 

148,680

 

 

 

117,136

 

 

 

THAICOM PCL FOREIGN

 

COMMON STOCK A

 

THAILAND

 

259,700

 

 

 

196,112

 

 

 

THAILAND BAHT

 

 

 

THAILAND

 

15,500,208

 

 

 

506,708

 

 

 

THANACHART CAPITAL FOREIGN

 

COMMON STOCK THB10. A

 

THAILAND

 

379,600

 

 

 

468,450

 

 

 

TISCO FINANCIAL FOREIGN

 

COMMON STOCK THB10. A

 

THAILAND

 

113,900

 

 

 

193,619

 

 

 

AKBANK T.A.S.

 

COMMON STOCK TRY1.

 

TURKEY

 

332,476

 

 

 

1,643,265

 

 

 

AKSA AKRILIK KIMYA SANAYII

 

COMMON STOCK TRY1.

 

TURKEY

 

274,374

 

 

 

791,631

 

 

 

AKSIGORTA

 

COMMON STOCK TRY1.

 

TURKEY

 

21,205

 

 

 

25,952

 

 

 

ANADOLU ANONIM TUERK SIGORTA

 

COMMON STOCK TRY1.

 

TURKEY

 

144,414

 

 

 

93,420

 

 

 

ANADOLU EFES BIRACILIK VE

 

COMMON STOCK TRY1.

 

TURKEY

 

40,762

 

 

 

588,023

 

 

 

ASYA KATILIM BANKASI AS

 

COMMON STOCK TRY1.

 

TURKEY

 

65,045

 

 

 

80,934

 

 

 

BAGFAS BANDIRMA GUBRE FABRIK

 

COMMON STOCK TRY1.

 

TURKEY

 

2,624

 

 

 

79,575

 

 

 

BIM BIRLESIK MAGAZALAR AS

 

COMMON STOCK TRY1.

 

TURKEY

 

18,614

 

 

 

911,428

 

 

 

DOGAN SIRKETLER GRUBU HLDGS

 

COMMON STOCK TRY1.

 

TURKEY

 

148,450

 

 

 

76,870

 

 

 

DOGAN YAYIN HOLDING AS

 

COMMON STOCK TRY1.

 

TURKEY

 

121,193

 

 

 

53,138

 

 

 

DOGUS OTOMOTIV SERVIS VE TIC

 

COMMON STOCK TRY1.

 

TURKEY

 

50,608

 

 

 

243,703

 

 

 

ENKA INSAAT VE SANAYI AS

 

COMMON STOCK TRY1.

 

TURKEY

 

59,615

 

 

 

177,360

 

 

 

EREGLI DEMIR VE CELIK FABRIK

 

COMMON STOCK TRY1.

 

TURKEY

 

296,376

 

 

 

408,092

 

 

 

HACI OMER SABANCI HOLDING

 

COMMON STOCK TRY1.

 

TURKEY

 

173,281

 

 

 

957,399

 

 

 

IHLAS HOLDING

 

COMMON STOCK TRY1.

 

TURKEY

 

660,192

 

 

 

463,581

 

 

 

KARDEMIR KARABUK DEMIR CL D

 

COMMON STOCK TRY1.

 

TURKEY

 

186,556

 

 

 

132,151

 

 

 

KOC HOLDING AS

 

COMMON STOCK TRY1.

 

TURKEY

 

97,047

 

 

 

504,674

 

 

 

MARDIN CIMENTO SANAYII

 

COMMON STOCK TRY1.

 

TURKEY

 

2,888

 

 

 

8,642

 

 

 

OTOKAR OTOMOTIV VE SAVUNMA

 

COMMON STOCK TRY1.

 

TURKEY

 

10,657

 

 

 

253,616

 

 

 

TAT KONSERVE

 

COMMON STOCK TRY1.

 

TURKEY

 

41,114

 

 

 

53,618

 

 

 

TRAKYA CAM SANAYII AS

 

COMMON STOCK TRY1.

 

TURKEY

 

48,456

 

 

 

66,388

 

 

 

TUPRAS TURKIYE PETROL RAFINE

 

COMMON STOCK TRY1.

 

TURKEY

 

24,019

 

 

 

694,590

 

 

 

TURK SISE VE CAM FABRIKALARI

 

COMMON STOCK TRY1.

 

TURKEY

 

95,838

 

 

 

158,907

 

 

 

TURK TELEKOMUNIKASYON AS

 

COMMON STOCK TRY1.

 

TURKEY

 

91,879

 

 

 

356,799

 

 

 

TURKCELL ILETISIM HIZMET AS

 

COMMON STOCK TRY1.

 

TURKEY

 

141,862

 

 

 

917,459

 

 

 

TURKISH LIRA

 

 

 

TURKEY

 

490,049

 

 

 

274,583

 

 

 

TURKIYE GARANTI BANKASI

 

COMMON STOCK TRY1.

 

TURKEY

 

341,948

 

 

 

1,778,219

 

 

 

TURKIYE HALK BANKASI

 

COMMON STOCK TRY1.

 

TURKEY

 

55,449

 

 

 

545,595

 

 

 

TURKIYE IS BANKASI C

 

COMMON STOCK TRY1.

 

TURKEY

 

242,043

 

 

 

840,927

 

 

74



Table of Contents

 

 

 

TURKIYE SINAI KALKINMA BANK

 

COMMON STOCK TRY1.

 

TURKEY

 

259,223

 

 

 

333,384

 

 

 

TURKIYE VAKIFLAR BANKASI T D

 

COMMON STOCK TRY1.

 

TURKEY

 

143,874

 

 

 

372,904

 

 

 

VESTEL BEYAZ ESYA SANAYI VE

 

COMMON STOCK TRY1.

 

TURKEY

 

38,570

 

 

 

57,575

 

 

 

VESTEL ELEKTRONIK SANAYI

 

COMMON STOCK TRY1.

 

TURKEY

 

192,452

 

 

 

204,148

 

 

 

YAPI VE KREDI BANKASI

 

COMMON STOCK TRY1.

 

TURKEY

 

187,775

 

 

 

548,707

 

 

 

ZORLU ENERJI ELEKTRIK URETIM

 

COMMON STOCK TRY1.

 

TURKEY

 

33,867

 

 

 

21,852

 

 

 

3I GROUP PLC

 

COMMON STOCK GBP.738636

 

UNITED KINGDOM

 

160,294

 

 

 

560,716

 

 

 

888 HOLDINGS PLC

 

COMMON STOCK GBP.005

 

UNITED KINGDOM

 

17,874

 

 

 

34,855

 

 

 

ABERDEEN ASSET MGMT PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

204,255

 

 

 

1,211,989

 

 

 

ADMIRAL GROUP PLC

 

COMMON STOCK GBP.001

 

UNITED KINGDOM

 

32,872

 

 

 

629,869

 

 

 

AEGIS GROUP PLC

 

COMMON STOCK GBP.055

 

UNITED KINGDOM

 

128,063

 

 

 

489,610

 

 

 

AERO INVENTORY PLC

 

ORD GBP0.0125

 

UNITED KINGDOM

 

6,459

 

 

 

0

 

 

 

AFREN PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

163,130

 

 

 

357,903

 

 

 

AGGREKO PLC

 

COMMON STOCK GBP.370839

 

UNITED KINGDOM

 

52,339

 

 

 

1,501,971

 

 

 

ALENT PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

77,984

 

 

 

391,444

 

 

 

AMER SPORTS OYJ

 

COMMON STOCK NPV

 

UNITED KINGDOM

 

59,020

 

 

 

966,243

 

 

 

AMMB HOLDINGS BHD

 

COMMON STOCK MYR1.

 

UNITED KINGDOM

 

76,865

 

 

 

467,242

 

 

 

ANGLO AMERICAN PLC

 

COMMON STOCK USD.54945

 

UNITED KINGDOM

 

229,925

 

 

 

7,344,304

 

 

 

ANTOFAGASTA PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

73,637

 

 

 

1,637,335

 

 

 

ARM HOLDINGS PLC

 

COMMON STOCK GBP.0005

 

UNITED KINGDOM

 

218,152

 

 

 

2,791,297

 

 

 

ASHTEAD GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

102,074

 

 

 

724,787

 

 

 

ASOS PLC

 

COMMON STOCK GBP.035

 

UNITED KINGDOM

 

17,320

 

 

 

753,356

 

 

 

ASSOCIATED BRITISH FOODS PLC

 

COMMON STOCK GBP.0568

 

UNITED KINGDOM

 

65,368

 

 

 

1,664,951

 

 

 

ASTRAZENECA PLC

 

COMMON STOCK USD.25

 

UNITED KINGDOM

 

206,033

 

 

 

9,746,589

 

 

 

AVEVA GROUP PLC

 

COMMON STOCK GBP.333333

 

UNITED KINGDOM

 

9,850

 

 

 

350,495

 

 

 

AVIVA PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

481,058

 

 

 

2,905,928

 

 

 

BABCOCK INTL GROUP PLC

 

COMMON STOCK GBP.6

 

UNITED KINGDOM

 

75,793

 

 

 

1,176,973

 

 

 

BAE SYSTEMS PLC

 

COMMON STOCK GBP.025

 

UNITED KINGDOM

 

553,499

 

 

 

3,042,878

 

 

 

BALFOUR BEATTY PLC

 

COMMON STOCK GBP.5

 

UNITED KINGDOM

 

123,582

 

 

 

552,626

 

 

 

BARCLAYS PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

1,970,928

 

 

 

8,516,727

 

 

 

BARRATT DEVELOPMENTS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

148,267

 

 

 

501,815

 

 

 

BELLWAY PLC

 

COMMON STOCK GBP.125

 

UNITED KINGDOM

 

20,826

 

 

 

354,234

 

 

 

BERKELEY GROUP HOLDINGS

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

18,677

 

 

 

546,103

 

 

 

BG GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

564,512

 

 

 

9,472,011

 

 

 

BHP BILLITON PLC

 

COMMON STOCK USD.5

 

UNITED KINGDOM

 

359,064

 

 

 

12,625,493

 

 

 

BIG YELLOW GROUP PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

38,456

 

 

 

221,109

 

 

 

BODYCOTE PLC

 

COMMON STOCK GBP.17273

 

UNITED KINGDOM

 

51,026

 

 

 

378,685

 

 

 

BOOKER GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

281,517

 

 

 

450,643

 

 

 

BOVIS HOMES GROUP PLC

 

COMMON STOCK GBP.5

 

UNITED KINGDOM

 

19,688

 

 

 

184,437

 

 

 

BP PLC

 

COMMON STOCK USD.25

 

UNITED KINGDOM

 

3,151,624

 

 

 

21,850,978

 

 

 

BREWIN DOLPHIN HOLDINGS PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

50,942

 

 

 

175,055

 

 

 

BRITISH AMERICAN TOBACCO PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

318,332

 

 

 

16,140,327

 

 

 

BRITISH LAND CO PLC

 

REIT GBP.25

 

UNITED KINGDOM

 

168,823

 

 

 

1,570,525

 

 

 

BRITISH SKY BROADCASTING GRO

 

COMMON STOCK GBP.5

 

UNITED KINGDOM

 

201,758

 

 

 

2,521,971

 

 

 

BRITVIC PLC

 

COMMON STOCK GBP.2

 

UNITED KINGDOM

 

31,647

 

 

 

209,797

 

 

 

BROWN (N) GROUP PLC

 

COMMON STOCK GBP.105263

 

UNITED KINGDOM

 

24,858

 

 

 

148,308

 

 

 

BT GROUP PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

1,324,041

 

 

 

4,994,195

 

 

 

BTG PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

72,135

 

 

 

390,897

 

 

 

BUNZL PLC

 

COMMON STOCK GBP.214286

 

UNITED KINGDOM

 

67,162

 

 

 

1,097,315

 

 

 

BURBERRY GROUP PLC

 

COMMON STOCK GBP.0005

 

UNITED KINGDOM

 

81,231

 

 

 

1,664,244

 

 

 

BWIN.PARTY DIGITAL ENTERTAIN

 

COMMON STOCK GBP.00015

 

UNITED KINGDOM

 

99,917

 

 

 

181,006

 

 

 

C+C GROUP PLC

 

COMMON STOCK EUR.01

 

UNITED KINGDOM

 

165,989

 

 

 

1,021,734

 

 

 

CABLE + WIRELESS COMMUNICATI

 

COMMON STOCK USD.05

 

UNITED KINGDOM

 

458,947

 

 

 

264,164

 

 

 

CAIRN ENERGY PLC

 

COMMON STOCK GBP.013669

 

UNITED KINGDOM

 

94,072

 

 

 

412,386

 

 

 

CAPE PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

47,327

 

 

 

162,960

 

 

 

CAPITA PLC

 

COMMON STOCK GBP.020667

 

UNITED KINGDOM

 

112,488

 

 

 

1,393,796

 

 

 

CAPITAL + COUNTIES PROPERTIE

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

210,912

 

 

 

831,751

 

 

 

CARILLION PLC

 

COMMON STOCK GBP.5

 

UNITED KINGDOM

 

64,223

 

 

 

337,062

 

 

 

CARNIVAL PLC

 

COMMON STOCK USD1.66

 

UNITED KINGDOM

 

30,152

 

 

 

1,166,327

 

 

 

CARPETRIGHT PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

3,842

 

 

 

42,704

 

 

 

CATLIN GROUP LTD

 

COMMON STOCK USD.01

 

UNITED KINGDOM

 

55,133

 

 

 

445,855

 

 

 

CENTRICA PLC

 

COMMON STOCK GBP.061728

 

UNITED KINGDOM

 

861,231

 

 

 

4,681,572

 

 

 

CHEIL WORLDWIDE INC

 

COMMON STOCK KRW200.

 

UNITED KINGDOM

 

27,936

 

 

 

104,776

 

 

 

CHENG UEI PRECISION INDUSTRY

 

COMMON STOCK TWD10.

 

UNITED KINGDOM

 

29,714

 

 

 

94,047

 

 

 

CLEANUP CORP

 

COMMON STOCK

 

UNITED KINGDOM

 

3,827

 

 

 

75,789

 

 

 

CLP HOLDINGS LTD

 

COMMON STOCK HKD5.

 

UNITED KINGDOM

 

18,206

 

 

 

255,814

 

 

 

COCA COLA AMATIL LTD

 

COMMON STOCK NPV

 

UNITED KINGDOM

 

208,283

 

 

 

757,967

 

 

 

COMBA TELECOM SYSTEMS HOLDIN

 

COMMON STOCK HKD.1

 

UNITED KINGDOM

 

63,823

 

 

 

100,521

 

 

 

COMPUTACENTER PLC

 

COMMON STOCK GBP.06

 

UNITED KINGDOM

 

340,085

 

 

 

4,024,706

 

 

 

COMPUTERSHARE LTD

 

COMMON STOCK NPV

 

UNITED KINGDOM

 

16,896

 

 

 

119,291

 

 

 

COUNTRY GARDEN HOLDINGS CO

 

COMMON STOCK HKD.1

 

UNITED KINGDOM

 

21,864

 

 

 

91,122

 

 

 

CROWN LTD

 

COMMON STOCK NPV

 

UNITED KINGDOM

 

34,122

 

 

 

1,322,822

 

 

 

CSR PLC

 

COMMON STOCK GBP.001

 

UNITED KINGDOM

 

28,114

 

 

 

152,767

 

 

 

DAILY MAIL+GENERAL TST A NV

 

COMMON STOCK GBP.125

 

UNITED KINGDOM

 

52,978

 

 

 

475,894

 

 

 

DAIRY CREST GROUP PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

18,636

 

 

 

116,012

 

 

 

DEBENHAMS PLC

 

COMMON STOCK GBP.0001

 

UNITED KINGDOM

 

190,921

 

 

 

354,659

 

 

 

DERWENT LONDON PLC

 

REIT GBP.05

 

UNITED KINGDOM

 

29,251

 

 

 

1,006,329

 

 

 

DEVRO PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

91,323

 

 

 

464,555

 

 

 

DIAGEO PLC

 

COMMON STOCK GBP.893518

 

UNITED KINGDOM

 

415,509

 

 

 

12,104,341

 

 

 

DIGNITY PLC

 

COMMON STOCK GBP.105

 

UNITED KINGDOM

 

7,044

 

 

 

121,872

 

 

75



Table of Contents

 

 

 

DIXONS RETAIL PLC

 

COMMON STOCK GBP.025

 

UNITED KINGDOM

 

449,878

 

 

 

208,777

 

 

 

DOMINO S PIZZA GROUP PLC

 

COMMON STOCK GBP.015625

 

UNITED KINGDOM

 

32,975

 

 

 

270,119

 

 

 

DRAX GROUP PLC

 

COMMON STOCK GBP.155172

 

UNITED KINGDOM

 

67,273

 

 

 

595,419

 

 

 

DS SMITH PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

189,622

 

 

 

633,932

 

 

 

DUNELM GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

32,963

 

 

 

385,768

 

 

 

EASYJET PLC

 

COMMON STOCK GBP.728571

 

UNITED KINGDOM

 

22,545

 

 

 

283,615

 

 

 

ELECTROCOMPONENTS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

70,463

 

 

 

274,969

 

 

 

ELEMENTIS PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

128,711

 

 

 

488,480

 

 

 

ENQUEST PLC

 

COMMON STOCK GBP.02

 

UNITED KINGDOM

 

285,496

 

 

 

570,056

 

 

 

ENTERPRISE INNS PLC

 

COMMON STOCK GBP.025

 

UNITED KINGDOM

 

95,218

 

 

 

159,389

 

 

 

ESSAR ENERGY PLC

 

COMMON STOCK

 

UNITED KINGDOM

 

55,358

 

 

 

111,265

 

 

 

EURASIAN NATURAL RESOURCES

 

COMMON STOCK USD.2

 

UNITED KINGDOM

 

60,064

 

 

 

289,158

 

 

 

EUROMONEY INSTL INVESTOR PLC

 

COMMON STOCK GBP.0025

 

UNITED KINGDOM

 

7,868

 

 

 

111,842

 

 

 

EXPERIAN PLC

 

COMMON STOCK USD.1

 

UNITED KINGDOM

 

178,116

 

 

 

2,879,728

 

 

 

F+C ASSET MANAGEMENT PLC

 

COMMON STOCK GBP.001

 

UNITED KINGDOM

 

260,473

 

 

 

433,960

 

 

 

FENNER PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

43,264

 

 

 

276,341

 

 

 

FERREXPO PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

45,037

 

 

 

187,877

 

 

 

FIDESSA GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

10,108

 

 

 

249,962

 

 

 

FIRSTGROUP PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

90,489

 

 

 

310,088

 

 

 

FRESNILLO PLC

 

COMMON STOCK USD.5

 

UNITED KINGDOM

 

35,380

 

 

 

1,098,510

 

 

 

FTSE 100 INDEX FUTURES

 

MAR13 XLIF

 

UNITED KINGDOM

 

640

 

 

 

(11,379)

 

 

 

G4S PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

235,336

 

 

 

983,319

 

 

 

GENUS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

8,794

 

 

 

201,513

 

 

 

GKN PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

281,894

 

 

 

1,052,498

 

 

 

GLAXOSMITHKLINE PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

833,532

 

 

 

18,109,008

 

 

 

GLENCORE XSTRATA PLC

 

COMMON STOCK USD.01

 

UNITED KINGDOM

 

238,402

 

 

 

1,390,233

 

 

 

GO AHEAD GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

4,304

 

 

 

89,307

 

 

 

GRAINGER PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

35,996

 

 

 

69,652

 

 

 

GREAT PORTLAND ESTATES PLC

 

REIT GBP.125

 

UNITED KINGDOM

 

60,838

 

 

 

486,365

 

 

 

GREENCORE GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

60,074

 

 

 

99,965

 

 

 

GREENE KING PLC

 

COMMON STOCK GBP.125

 

UNITED KINGDOM

 

36,174

 

 

 

368,642

 

 

 

GULF KEYSTONE PETROLEUM LTD

 

COMMON STOCK USD.01

 

UNITED KINGDOM

 

146,422

 

 

 

430,273

 

 

 

HALFORDS GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

25,207

 

 

 

136,901

 

 

 

HALMA PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

64,195

 

 

 

484,111

 

 

 

HAMMERSON PLC

 

REIT GBP.25

 

UNITED KINGDOM

 

138,062

 

 

 

1,113,104

 

 

 

HARGREAVES SERVICES PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

10,955

 

 

 

115,895

 

 

 

HAYS PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

272,835

 

 

 

366,723

 

 

 

HELICAL BAR PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

25,354

 

 

 

95,600

 

 

 

HENDERSON GROUP PLC

 

COMMON STOCK GBP.125

 

UNITED KINGDOM

 

146,933

 

 

 

326,222

 

 

 

HERITAGE OIL PLC

 

COMMON STOCK

 

UNITED KINGDOM

 

23,615

 

 

 

72,819

 

 

 

HIKMA PHARMACEUTICALS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

26,230

 

 

 

328,485

 

 

 

HISCOX LTD

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

120,496

 

 

 

877,689

 

 

 

HOME RETAIL GROUP

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

171,446

 

 

 

354,078

 

 

 

HOWDEN JOINERY GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

102,014

 

 

 

289,847

 

 

 

HSBC HOLDINGS PLC

 

COMMON STOCK USD.5

 

UNITED KINGDOM

 

2,967,692

 

 

 

31,409,078

 

 

 

ICAP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

96,024

 

 

 

491,577

 

 

 

IG GROUP HOLDINGS PLC

 

COMMON STOCK GBP.00005

 

UNITED KINGDOM

 

55,542

 

 

 

406,922

 

 

 

IMAGINATION TECH GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

38,793

 

 

 

251,707

 

 

 

IMI PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

61,118

 

 

 

1,087,735

 

 

 

IMPERIAL TOBACCO GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

169,229

 

 

 

6,538,979

 

 

 

INCHCAPE PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

80,242

 

 

 

564,831

 

 

 

INFORMA PLC

 

COMMON STOCK GBP.001

 

UNITED KINGDOM

 

112,960

 

 

 

836,214

 

 

 

INMARSAT PLC

 

COMMON STOCK EUR.0005

 

UNITED KINGDOM

 

69,301

 

 

 

669,405

 

 

 

INTERCONTINENTAL HOTELS GROU

 

COMMON STOCK GBP.458967

 

UNITED KINGDOM

 

44,879

 

 

 

1,262,889

 

 

 

INTERMEDIATE CAPITAL GROUP

 

COMMON STOCK GBP.2

 

UNITED KINGDOM

 

56,436

 

 

 

296,668

 

 

 

INTERNATIONAL PERSONAL FINAN

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

46,889

 

 

 

281,784

 

 

 

INTERTEK GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

34,623

 

 

 

1,748,413

 

 

 

INTU PROPERTIES PLC

 

REIT GBP.5

 

UNITED KINGDOM

 

205,549

 

 

 

1,157,265

 

 

 

INVENSYS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

145,246

 

 

 

789,638

 

 

 

INVESTEC PLC

 

COMMON STOCK GBP.0002

 

UNITED KINGDOM

 

98,170

 

 

 

669,070

 

 

 

IRISH BANK RESOLUTION CORP

 

EUR0.16

 

UNITED KINGDOM

 

6,915

 

 

 

0

 

 

 

IRISH CONTINENTAL GROUP PLC

 

UNIT EUR.65

 

UNITED KINGDOM

 

2,702

 

 

 

68,556

 

 

 

ITC LTD

 

GDR

 

UNITED KINGDOM

 

155,158

 

 

 

812,180

 

 

 

ITE GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

81,625

 

 

 

327,790

 

 

 

ITV PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

617,345

 

 

 

1,059,759

 

 

 

JARDINE LLOYD THOMPSON GROUP

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

19,100

 

 

 

250,722

 

 

 

JKX OIL + GAS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

14,115

 

 

 

17,782

 

 

 

JOHNSON MATTHEY PLC

 

COMMON STOCK GBP1.047619

 

UNITED KINGDOM

 

47,188

 

 

 

1,813,443

 

 

 

KAZAKHMYS PLC

 

COMMON STOCK GBP.2

 

UNITED KINGDOM

 

38,611

 

 

 

508,054

 

 

 

KELLER GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

6,584

 

 

 

74,741

 

 

 

KIER GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

4,150

 

 

 

89,790

 

 

 

KINGFISHER PLC

 

COMMON STOCK GBP.157143

 

UNITED KINGDOM

 

451,529

 

 

 

2,086,911

 

 

 

LADBROKES PLC

 

COMMON STOCK GBP.833333

 

UNITED KINGDOM

 

202,947

 

 

 

651,128

 

 

 

LANCASHIRE HOLDINGS LTD

 

COMMON STOCK USD.5

 

UNITED KINGDOM

 

27,805

 

 

 

350,651

 

 

 

LAND SECURITIES GROUP PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

143,584

 

 

 

1,942,484

 

 

 

LEGAL + GENERAL GROUP PLC

 

COMMON STOCK GBP.025

 

UNITED KINGDOM

 

1,114,817

 

 

 

2,693,149

 

 

 

LLOYDS BANKING GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

6,899,774

 

 

 

5,532,212

 

 

 

LONDON STOCK EXCHANGE GROUP

 

COMMON STOCK GBP.918605

 

UNITED KINGDOM

 

46,054

 

 

 

804,961

 

 

 

LONMIN PLC

 

COMMON STOCK USD1.

 

UNITED KINGDOM

 

98,644

 

 

 

462,247

 

 

 

LOOKERS PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

154,799

 

 

 

186,895

 

 

76



Table of Contents

 

 

 

MAJESTIC WINE PLC

 

COMMON STOCK GBP.075

 

UNITED KINGDOM

 

30,114

 

 

 

229,966

 

 

 

MAN GROUP PLC

 

COMMON STOCK USD.428571

 

UNITED KINGDOM

 

334,845

 

 

 

449,281

 

 

 

MARKS + SPENCER GROUP PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

296,019

 

 

 

1,846,784

 

 

 

MCBRIDE PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

68,298

 

 

 

148,359

 

 

 

MEARS GROUP PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

49,916

 

 

 

266,973

 

 

 

MEGGITT PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

129,592

 

 

 

808,375

 

 

 

MELROSE INDUSTRIES PLC

 

COMMON STOCK GBP.001

 

UNITED KINGDOM

 

272,381

 

 

 

1,015,411

 

 

 

MICHAEL PAGE INTERNATIONAL

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

44,706

 

 

 

288,928

 

 

 

MICRO FOCUS INTERNATIONAL

 

COMMON STOCK GBP.125

 

UNITED KINGDOM

 

21,861

 

 

 

210,688

 

 

 

MITCHELLS + BUTLERS PLC

 

COMMON STOCK GBP.54167

 

UNITED KINGDOM

 

72,411

 

 

 

390,515

 

 

 

MONDI PLC

 

COMMON STOCK EUR.2

 

UNITED KINGDOM

 

67,332

 

 

 

726,709

 

 

 

MONEYSUPERMARKET.COM

 

COMMON STOCK GBP.0002

 

UNITED KINGDOM

 

44,952

 

 

 

114,849

 

 

 

MORGAN ADVANCED MATERIALS PL

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

47,747

 

 

 

211,425

 

 

 

MORGAN SINDALL GROUP PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

5,600

 

 

 

45,935

 

 

 

MOTHERCARE PLC

 

COMMON STOCK GBP.5

 

UNITED KINGDOM

 

28,326

 

 

 

156,582

 

 

 

NATIONAL EXPRESS GROUP PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

82,610

 

 

 

276,492

 

 

 

NATIONAL GRID PLC

 

COMMON STOCK GBP.139535

 

UNITED KINGDOM

 

576,074

 

 

 

6,602,866

 

 

 

NEW WORLD RESOURCES PLC A SH

 

COMMON STOCK EUR.4

 

UNITED KINGDOM

 

19,523

 

 

 

106,987

 

 

 

NEXT PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

31,639

 

 

 

1,954,045

 

 

 

NORTHGATE PLC

 

COMMON STOCK GBP.5

 

UNITED KINGDOM

 

32,658

 

 

 

165,187

 

 

 

NOVATEK OAO SPONS

 

GDR

 

UNITED KINGDOM

 

15,659

 

 

 

1,886,362

 

 

 

OLD MUTUAL PLC

 

COMMON STOCK GBP.142857

 

UNITED KINGDOM

 

833,451

 

 

 

2,477,200

 

 

 

PACE PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

29,518

 

 

 

91,664

 

 

 

PADDY POWER PLC

 

COMMON STOCK EUR.1

 

UNITED KINGDOM

 

11,628

 

 

 

969,889

 

 

 

PARAGON GROUP COMPANIES PLC

 

COMMON STOCK GBP1.

 

UNITED KINGDOM

 

60,142

 

 

 

254,158

 

 

 

PEARSON PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

151,228

 

 

 

2,958,321

 

 

 

PENDRAGON PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

645,215

 

 

 

176,026

 

 

 

PENNON GROUP PLC

 

COMMON STOCK GBP.407

 

UNITED KINGDOM

 

76,743

 

 

 

782,083

 

 

 

PERSIMMON PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

56,670

 

 

 

748,880

 

 

 

PETROFAC LTD

 

COMMON STOCK USD.02

 

UNITED KINGDOM

 

41,555

 

 

 

1,126,571

 

 

 

PETROPAVLOVSK PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

24,318

 

 

 

146,413

 

 

 

POUND STERLING

 

FOREIGN CURRENCY

 

UNITED KINGDOM

 

3,564,491

 

 

 

5,794,084

 

 

 

PREMIER FARNELL PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

45,076

 

 

 

144,295

 

 

 

PREMIER FOODS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

37,644

 

 

 

69,118

 

 

 

PREMIER OIL PLC

 

COMMON STOCK GBP.125

 

UNITED KINGDOM

 

154,350

 

 

 

856,748

 

 

 

PROVIDENT FINANCIAL PLC

 

COMMON STOCK GBP.072727

 

UNITED KINGDOM

 

21,249

 

 

 

475,887

 

 

 

PRUDENTIAL PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

431,123

 

 

 

6,019,472

 

 

 

QUINTAIN ESTATES + DEV PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

190,972

 

 

 

162,471

 

 

 

RANBAXY LABORATO SP

 

GDR

 

UNITED KINGDOM

 

6,052

 

 

 

55,338

 

 

 

RANDGOLD RESOURCES LTD

 

COMMON STOCK USD.05

 

UNITED KINGDOM

 

16,679

 

 

 

1,644,878

 

 

 

RATHBONE BROTHERS PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

6,292

 

 

 

132,964

 

 

 

RECKITT BENCKISER GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

108,875

 

 

 

6,824,748

 

 

 

REDROW PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

66,896

 

 

 

185,706

 

 

 

REED ELSEVIER PLC

 

COMMON STOCK GBP.144397

 

UNITED KINGDOM

 

204,214

 

 

 

2,145,613

 

 

 

REGUS PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

88,400

 

 

 

159,628

 

 

 

RENTOKIL INITIAL PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

346,240

 

 

 

549,569

 

 

 

RESOLUTION LTD

 

COMMON STOCK

 

UNITED KINGDOM

 

274,738

 

 

 

1,097,434

 

 

 

RESTAURANT GROUP PLC

 

COMMON STOCK GBP.28125

 

UNITED KINGDOM

 

37,320

 

 

 

240,020

 

 

 

REXAM PLC

 

COMMON STOCK GBP.642857

 

UNITED KINGDOM

 

160,812

 

 

 

1,130,778

 

 

 

RIGHTMOVE PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

27,018

 

 

 

622,756

 

 

 

RIO TINTO PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

230,533

 

 

 

13,442,414

 

 

 

ROLLS ROYCE HOLDINGS PLC

 

COMMON STOCK GBP.2

 

UNITED KINGDOM

 

341,154

 

 

 

4,918,615

 

 

 

ROSNEFT OJSC REG S

 

GDR

 

UNITED KINGDOM

 

135,277

 

 

 

1,221,451

 

 

 

ROTORK PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

14,004

 

 

 

581,136

 

 

 

ROYAL BANK OF SCOTLAND GROUP

 

COMMON STOCK GBP1.

 

UNITED KINGDOM

 

370,416

 

 

 

1,996,305

 

 

 

ROYAL DUTCH SHELL PLC A SHS

 

COMMON STOCK EUR.07

 

UNITED KINGDOM

 

583,668

 

 

 

20,636,976

 

 

 

ROYAL DUTCH SHELL PLC B SHS

 

COMMON STOCK EUR.07

 

UNITED KINGDOM

 

466,891

 

 

 

16,535,057

 

 

 

RPS GROUP PLC

 

COMMON STOCK GBP.03

 

UNITED KINGDOM

 

43,062

 

 

 

148,672

 

 

 

RSA INSURANCE GROUP PLC

 

COMMON STOCK GBP.275

 

UNITED KINGDOM

 

781,946

 

 

 

1,579,232

 

 

 

SABMILLER PLC

 

COMMON STOCK USD.1

 

UNITED KINGDOM

 

156,258

 

 

 

7,359,523

 

 

 

SAGE GROUP PLC/THE

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

240,086

 

 

 

1,150,904

 

 

 

SAINSBURY (J) PLC

 

COMMON STOCK GBP.285714

 

UNITED KINGDOM

 

229,909

 

 

 

1,294,404

 

 

 

SALAMANDER ENERGY PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

106,943

 

 

 

325,993

 

 

 

SAVILLS PLC

 

COMMON STOCK GBP.025

 

UNITED KINGDOM

 

24,560

 

 

 

190,856

 

 

 

SCHRODERS PLC

 

COMMON STOCK GBP1.

 

UNITED KINGDOM

 

22,662

 

 

 

637,093

 

 

 

SDL PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

29,792

 

 

 

243,664

 

 

 

SEGRO PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

123,129

 

 

 

505,201

 

 

 

SENIOR PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

91,779

 

 

 

301,350

 

 

 

SERCO GROUP PLC

 

COMMON STOCK GBP.02

 

UNITED KINGDOM

 

87,867

 

 

 

756,946

 

 

 

SEVERN TRENT PLC

 

COMMON STOCK GBP.9789

 

UNITED KINGDOM

 

43,451

 

 

 

1,113,947

 

 

 

SEVERSTAL

 

GDR

 

UNITED KINGDOM

 

49,935

 

 

 

619,867

 

 

 

SHAFTESBURY PLC

 

REIT GBP.25

 

UNITED KINGDOM

 

96,573

 

 

 

899,736

 

 

 

SHANKS GROUP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

52,456

 

 

 

77,387

 

 

 

SHIRE PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

105,740

 

 

 

3,249,693

 

 

 

SIG PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

90,458

 

 

 

178,564

 

 

 

SISTEMA JSFC REG S SPONS

 

GDR

 

UNITED KINGDOM

 

19,177

 

 

 

388,554

 

 

 

SMITH + NEPHEW PLC

 

COMMON STOCK USD.2

 

UNITED KINGDOM

 

164,046

 

 

 

1,816,610

 

 

 

SMITHS GROUP PLC

 

COMMON STOCK GBP.375

 

UNITED KINGDOM

 

71,487

 

 

 

1,408,002

 

 

 

SOCO INTERNATIONAL PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

103,157

 

 

 

602,288

 

 

 

SPECTRIS PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

19,025

 

 

 

637,679

 

 

77



Table of Contents

 

 

 

SPIRAX SARCO ENGINEERING PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

11,265

 

 

 

423,804

 

 

 

SPIRENT COMMUNICATIONS PLC

 

COMMON STOCK GBP.333333

 

UNITED KINGDOM

 

96,115

 

 

 

236,382

 

 

 

SPIRIT PUB CO PLC

 

COMMON STOCK

 

UNITED KINGDOM

 

114,256

 

 

 

120,804

 

 

 

SSE PLC

 

COMMON STOCK GBP.5

 

UNITED KINGDOM

 

165,836

 

 

 

3,835,129

 

 

 

ST. MODWEN PROPERTIES PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

21,072

 

 

 

79,399

 

 

 

STAGECOACH GROUP PLC

 

COMMON STOCK GBP.005482

 

UNITED KINGDOM

 

83,026

 

 

 

410,556

 

 

 

STANDARD CHARTERED PLC

 

COMMON STOCK USD.5

 

UNITED KINGDOM

 

402,645

 

 

 

10,213,117

 

 

 

STANDARD LIFE PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

467,722

 

 

 

2,499,874

 

 

 

STATE BANK OF INDIA

 

COMMON STOCK INR10.

 

UNITED KINGDOM

 

3,821

 

 

 

344,906

 

 

 

STHREE PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

28,453

 

 

 

153,877

 

 

 

SYNERGY HEALTH PLC

 

COMMON STOCK GBP.00625

 

UNITED KINGDOM

 

9,827

 

 

 

174,365

 

 

 

TALKTALK TELECOM GROUP

 

COMMON STOCK GBP.001

 

UNITED KINGDOM

 

92,333

 

 

 

357,857

 

 

 

TATE + LYLE PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

92,048

 

 

 

1,142,163

 

 

 

TAYLOR WIMPEY PLC

 

COMMON STOCK GBP.01

 

UNITED KINGDOM

 

615,759

 

 

 

671,466

 

 

 

TELECITY GROUP PLC

 

COMMON STOCK

 

UNITED KINGDOM

 

64,175

 

 

 

841,838

 

 

 

TELECOM PLUS PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

41,405

 

 

 

629,889

 

 

 

TESCO PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

1,312,771

 

 

 

7,216,134

 

 

 

THOMAS COOK GROUP PLC

 

COMMON STOCK EUR.1

 

UNITED KINGDOM

 

90,976

 

 

 

72,073

 

 

 

TOTAL PRODUCE PLC

 

COMMON STOCK EUR.01

 

UNITED KINGDOM

 

214,446

 

 

 

158,331

 

 

 

TRAVIS PERKINS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

38,034

 

 

 

675,788

 

 

 

TT ELECTRONICS PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

149,063

 

 

 

343,890

 

 

 

TUI TRAVEL PLC

 

COMMON STOCK GBP.001

 

UNITED KINGDOM

 

104,858

 

 

 

488,295

 

 

 

TULLETT PREBON PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

27,073

 

 

 

112,402

 

 

 

TULLOW OIL PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

163,720

 

 

 

3,336,209

 

 

 

UBM PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

41,487

 

 

 

479,573

 

 

 

ULTRA ELECTRONICS HLDGS PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

27,532

 

 

 

737,430

 

 

 

UNILEVER PLC

 

COMMON STOCK GBP.0311

 

UNITED KINGDOM

 

214,145

 

 

 

8,133,736

 

 

 

UNITE GROUP PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

41,192

 

 

 

185,303

 

 

 

UNITED UTILITIES GROUP PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

126,384

 

 

 

1,387,740

 

 

 

URALKALI SPON

 

GDR

 

UNITED KINGDOM

 

28,700

 

 

 

1,105,742

 

 

 

VECTURA GROUP PLC

 

COMMON STOCK GBP.00025

 

UNITED KINGDOM

 

96,808

 

 

 

134,719

 

 

 

VEDANTA RESOURCES PLC

 

COMMON STOCK USD.1

 

UNITED KINGDOM

 

27,251

 

 

 

532,955

 

 

 

VESUVIUS PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

77,984

 

 

 

441,345

 

 

 

VODAFONE GROUP PLC

 

COMMON STOCK USD.142857

 

UNITED KINGDOM

 

8,171,906

 

 

 

20,564,545

 

 

 

VTB BANK OJSC

 

GDR

 

UNITED KINGDOM

 

76,813

 

 

 

268,156

 

 

 

WEIR GROUP PLC/THE

 

COMMON STOCK GBP.125

 

UNITED KINGDOM

 

34,101

 

 

 

1,059,162

 

 

 

WETHERSPOON (J.D.) PLC

 

COMMON STOCK GBP.02

 

UNITED KINGDOM

 

13,750

 

 

 

118,188

 

 

 

WH SMITH PLC

 

COMMON STOCK GBP.22

 

UNITED KINGDOM

 

20,891

 

 

 

233,447

 

 

 

WHITBREAD PLC

 

COMMON STOCK GBP.767974

 

UNITED KINGDOM

 

35,157

 

 

 

1,402,497

 

 

 

WILLIAM HILL PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

141,825

 

 

 

806,035

 

 

 

WM MORRISON SUPERMARKETS

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

372,057

 

 

 

1,592,372

 

 

 

WOLSELEY PLC

 

COMMON STOCK GBP.045455

 

UNITED KINGDOM

 

47,886

 

 

 

2,277,547

 

 

 

WOOD GROUP (JOHN) PLC

 

COMMON STOCK GBP.042857

 

UNITED KINGDOM

 

63,824

 

 

 

754,611

 

 

 

WORKSPACE GROUP PLC

 

REIT GBP1.

 

UNITED KINGDOM

 

42,098

 

 

 

207,513

 

 

 

WPP PLC

 

COMMON STOCK GBP.1

 

UNITED KINGDOM

 

212,423

 

 

 

3,090,048

 

 

 

XCHANGING PLC

 

COMMON STOCK GBP.05

 

UNITED KINGDOM

 

30,617

 

 

 

62,396

 

 

 

XSTRATA PLC

 

COMMON STOCK USD.5

 

UNITED KINGDOM

 

358,161

 

 

 

6,374,397

 

 

 

BANCO SANTANDER CHILE

 

ADR

 

UNITED STATES

 

29,884

 

 

 

851,395

 

 

 

BANCOLOMBIA S.A. SPONS

 

ADR

 

UNITED STATES

 

53,943

 

 

 

3,591,525

 

 

 

CELLCOM ISRAEL LTD

 

COMMON STOCK ILS.01

 

UNITED STATES

 

1,877

 

 

 

15,542

 

 

 

CERAGON NETWORKS LTD

 

COMMON STOCK ILS.01

 

UNITED STATES

 

24,602

 

 

 

108,495

 

 

 

CIA CERVECERIAS UNIDAS

 

ADR

 

UNITED STATES

 

14,463

 

 

 

457,449

 

 

 

CIA DE MINAS BUENAVENTUR

 

ADR

 

UNITED STATES

 

31,300

 

 

 

1,125,235

 

 

 

CORPORACION FINANCIERA ALBA

 

COMMON STOCK EUR1.

 

UNITED STATES

 

24,273

 

 

 

491,528

 

 

 

CREDIT AGRICOLE SA

 

COMMON STOCK EUR3.

 

UNITED STATES

 

7,468

 

 

 

1,094,510

 

 

 

EMPRESA NAC ELEC CHIL SP

 

ADR NPV

 

UNITED STATES

 

21,246

 

 

 

1,037,017

 

 

 

ENERSIS S.A. SPONS

 

ADR NPV

 

UNITED STATES

 

43,118

 

 

 

785,610

 

 

 

FIBRIA CELULOSE SA SPON

 

ADR NPV

 

UNITED STATES

 

9,953

 

 

 

113,166

 

 

 

GAZPROM OAO SPON

 

ADR

 

UNITED STATES

 

903,026

 

 

 

8,786,443

 

 

 

GIVEN IMAGING LTD

 

COMMON STOCK ILS.05

 

UNITED STATES

 

1,607

 

 

 

28,074

 

 

 

ICICI BANK LTD SPON

 

ADR

 

UNITED STATES

 

23,648

 

 

 

1,031,289

 

 

 

INNERGEX RENEWABLE ENERGY

 

COMMON STOCK

 

UNITED STATES

 

39,888

 

 

 

414,033

 

 

 

KOMERCNI BANKA AS

 

GDR CZK500.

 

UNITED STATES

 

3,590

 

 

 

252,097

 

 

 

LARSEN + TOUBRO

 

GDR

 

UNITED STATES

 

5,652

 

 

 

164,756

 

 

 

LATAM AIRLINES GROUP SP

 

ADR

 

UNITED STATES

 

45,105

 

 

 

1,062,674

 

 

 

LINAMAR CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

9,400

 

 

 

221,276

 

 

 

LUKOIL OAO SPON

 

ADR RUB.025

 

UNITED STATES

 

89,236

 

 

 

6,023,430

 

 

 

MAHINDRA + MAHINDRA SPON

 

GDR

 

UNITED STATES

 

6,800

 

 

 

113,628

 

 

 

MECHEL SPONSORED

 

ADR

 

UNITED STATES

 

32,538

 

 

 

225,488

 

 

 

MMC NORILSK NICKEL JSC

 

ADR

 

UNITED STATES

 

87,772

 

 

 

1,617,638

 

 

 

MOBILE TELESYSTEMS SP

 

ADR

 

UNITED STATES

 

98,657

 

 

 

1,839,953

 

 

 

MSCI EAFE MINI INDEX FUTURES

 

MAR13 XNLI

 

UNITED STATES

 

22,050

 

 

 

759,625

 

 

 

MSCI EMERGING MKT MINI FUTURE

 

MAR13 XNLI

 

UNITED STATES

 

7,450

 

 

 

220,535

 

 

 

NICE SYSTEMS LTD SPONS

 

ADR

 

UNITED STATES

 

3,635

 

 

 

121,700

 

 

 

NOVOLIPET STEEL

 

DEPOSITORY RECEIPT

 

UNITED STATES

 

14,923

 

 

 

302,191

 

 

 

OI SA

 

COMMON STOCK NPV

 

UNITED STATES

 

821

 

 

 

3,530

 

 

 

OI SA

 

ADR

 

UNITED STATES

 

8,421

 

 

 

33,768

 

 

 

POSCO

 

COMMON STOCK KRW5000.

 

UNITED STATES

 

7,613

 

 

 

625,408

 

 

 

PROTHENA CORP PLC

 

COMMON STOCK USD.01

 

UNITED STATES

 

2,137

 

 

 

15,664

 

 

 

QUIMICA Y MINERA CHIL SP

 

ADR USD1.

 

UNITED STATES

 

20,355

 

 

 

1,173,262

 

 

78



Table of Contents

 

 

 

RELIANCE INFRAST SP

 

GDR

 

UNITED STATES

 

1,652

 

 

 

47,086

 

 

 

ROSNEFT OJSC REG S

 

GDR

 

UNITED STATES

 

98,758

 

 

 

879,934

 

 

 

RYANAIR HOLDINGS PLC SP

 

ADR

 

UNITED STATES

 

2,546

 

 

 

87,277

 

 

 

SISTEMA JSFC REG S SPONS

 

GDR

 

UNITED STATES

 

14,989

 

 

 

302,778

 

 

 

SK TELECOM

 

COMMON STOCK KRW500.

 

UNITED STATES

 

6,377

 

 

 

100,948

 

 

 

SOUTHERN COPPER CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,295

 

 

 

806,229

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

UNITED STATES

 

24,278,224

 

 

 

24,278,224

 

 

 

SURGUTNEFTEGAS SP

 

ADR

 

UNITED STATES

 

169,856

 

 

 

1,532,101

 

 

 

SURGUTNEFTEGAZ SP

 

ADR

 

UNITED STATES

 

128,560

 

 

 

853,638

 

 

 

TATNEFT SPONSORED

 

ADR

 

UNITED STATES

 

3,175

 

 

 

138,335

 

 

 

TEVA PHARMACEUTICAL SP

 

ADR

 

UNITED STATES

 

10,382

 

 

 

387,664

 

 

 

TMK

 

GDR

 

UNITED STATES

 

8,431

 

 

 

129,079

 

 

 

URALKALI SPON

 

GDR

 

UNITED STATES

 

21,352

 

 

 

815,860

 

 

 

URANIUM PARTICIPATION CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

20,900

 

 

 

113,278

 

 

 

US DOLLAR

 

 

 

UNITED STATES

 

3,487,165

 

 

 

3,487,165

 

 

 

VTB BANK SPON

 

GDR

 

UNITED STATES

 

136,000

 

 

 

470,560

 

 

 

BOLIVAR FUERTE

 

FOREIGN CURRENCY

 

VENEZUELA, BOLIVARIAN REP OF

 

55,012

 

 

 

12,809

 

 

 

CURRENCY CONTRACT

 

BUYJPY/SELLUSD

 

 

 

 

 

 

 

(237,638

)

 

 

CURRENCY CONTRACT

 

BUYEUR/SELLUSD

 

 

 

 

 

 

 

20,094

 

 

 

CURRENCY CONTRACT

 

BUYGBP/SELLUSD

 

 

 

 

 

 

 

51,551

 

 

 

CURRENCY CONTRACT

 

BUYCLP/ SELLUSD

 

 

 

 

 

 

 

6

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLDKK

 

 

 

 

 

 

 

64

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT A - Total International Stock Market Index Fund

 

 

 

 

 

$

3,149,486,743

 

 


 

 

n / a  - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

79



Table of Contents

 

EXHIBIT B - Small/Mid-Cap Stock Index Fund

(Managed by State Street Global Advisors)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/
Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

STEINER LEISURE LTD

 

COMMON STOCK USD.01

 

BAHAMAS

 

17,200

 

 

 

$

828,868

 

 

 

ALTERRA CAPITAL HOLDINGS LTD

 

COMMON STOCK USD1.

 

BERMUDA

 

89,600

 

 

 

2,525,824

 

 

 

AMERICAN SAFETY INS HOLDINGS

 

COMMON STOCK USD.01

 

BERMUDA

 

11,304

 

 

 

213,872

 

 

 

ARCH CAPITAL GROUP LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

133,783

 

 

 

5,889,128

 

 

 

ARGO GROUP INTERNATIONAL

 

COMMON STOCK USD1.

 

BERMUDA

 

25,129

 

 

 

844,083

 

 

 

ASPEN INSURANCE HOLDINGS LTD

 

COMMON STOCK USD.514456

 

BERMUDA

 

73,600

 

 

 

2,361,088

 

 

 

ASSURED GUARANTY LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

164,500

 

 

 

2,340,835

 

 

 

AXIS CAPITAL HOLDINGS LTD

 

COMMON STOCK USD.0125

 

BERMUDA

 

110,200

 

 

 

3,817,328

 

 

 

BUNGE LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

142,717

 

 

 

10,374,099

 

 

 

CENTRAL EUROPEAN MEDIA ENT A

 

COMMON STOCK USD.08

 

BERMUDA

 

38,114

 

 

 

233,639

 

 

 

ENDURANCE SPECIALTY HOLDINGS

 

COMMON STOCK USD1.

 

BERMUDA

 

42,600

 

 

 

1,690,794

 

 

 

ENERGY XXI BERMUDA

 

COMMON STOCK USD.005

 

BERMUDA

 

72,300

 

 

 

2,327,337

 

 

 

ENSTAR GROUP LTD

 

COMMON STOCK USD1.

 

BERMUDA

 

6,400

 

 

 

716,672

 

 

 

EVEREST RE GROUP LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

51,464

 

 

 

5,658,467

 

 

 

FRONTLINE LTD

 

COMMON STOCK USD2.5

 

BERMUDA

 

47,900

 

 

 

156,154

 

 

 

GLOBAL SOURCES LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

9,744

 

 

 

63,141

 

 

 

GOLAR LNG LTD

 

COMMON STOCK USD1.

 

BERMUDA

 

40,731

 

 

 

1,498,086

 

 

 

HELEN OF TROY LTD

 

COMMON STOCK USD.1

 

BERMUDA

 

33,400

 

 

 

1,115,226

 

 

 

KNIGHTSBRIDGE TANKERS LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

21,300

 

 

 

111,825

 

 

 

KOSMOS ENERGY LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

64,300

 

 

 

794,105

 

 

 

LAZARD LTD CL A

 

COMMON STOCK USD.01

 

BERMUDA

 

113,000

 

 

 

3,371,920

 

 

 

MAIDEN HOLDINGS LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

55,800

 

 

 

512,802

 

 

 

MARVELL TECHNOLOGY GROUP LTD

 

COMMON STOCK USD.002

 

BERMUDA

 

454,155

 

 

 

3,297,165

 

 

 

MONTPELIER RE HOLDINGS LTD

 

COMMON STOCK USD.001666

 

BERMUDA

 

53,218

 

 

 

1,216,563

 

 

 

OREXIGEN THERAPEUTICS INC

 

COMMON STOCK USD.001

 

BERMUDA

 

95,860

 

 

 

1,120,603

 

 

 

PARTNERRE LTD

 

COMMON STOCK USD1.

 

BERMUDA

 

63,550

 

 

 

5,115,140

 

 

 

PLATINUM UNDERWRITERS HLDGS

 

COMMON STOCK USD.01

 

BERMUDA

 

32,100

 

 

 

1,476,600

 

 

 

RENAISSANCERE HOLDINGS LTD

 

COMMON STOCK USD1.

 

BERMUDA

 

51,100

 

 

 

4,152,386

 

 

 

SHIP FINANCE INTL LTD

 

COMMON STOCK USD1.

 

BERMUDA

 

48,129

 

 

 

800,385

 

 

 

SIGNET JEWELERS LTD

 

COMMON STOCK USD.18

 

BERMUDA

 

83,201

 

 

 

4,442,933

 

 

 

TEEKAY CORP

 

COMMON STOCK USD.001

 

BERMUDA

 

36,400

 

 

 

1,168,440

 

 

 

TEEKAY TANKERS LTD CLASS A

 

COMMON STOCK USD.01

 

BERMUDA

 

46,100

 

 

 

133,690

 

 

 

TEXTAINER GROUP HOLDINGS LTD

 

COMMON STOCK USD.01

 

BERMUDA

 

10,100

 

 

 

317,746

 

 

 

VALIDUS HOLDINGS LTD

 

COMMON STOCK USD.175

 

BERMUDA

 

106,379

 

 

 

3,678,586

 

 

 

DOMTAR CORP

 

COMMON STOCK USD.01

 

CANADA

 

36,850

 

 

 

3,077,712

 

 

 

MCEWEN MINING INC

 

COMMON STOCK NPV

 

CANADA

 

191,400

 

 

 

733,062

 

 

 

MDC PARTNERS INC A

 

COMMON STOCK NPV

 

CANADA

 

26,300

 

 

 

297,190

 

 

 

RESOLUTE FOREST PRODUCTS

 

COMMON STOCK USD.001

 

CANADA

 

74,500

 

 

 

986,380

 

 

 

CONSOLIDATED WATER CO ORD SH

 

COMMON STOCK USD.6

 

CAYMAN ISLANDS

 

15,300

 

 

 

113,220

 

 

 

FABRINET

 

COMMON STOCK USD.01

 

CAYMAN ISLANDS

 

17,900

 

 

 

235,206

 

 

 

GREENLIGHT CAPITAL RE LTD A

 

COMMON STOCK USD.01

 

CAYMAN ISLANDS

 

31,600

 

 

 

729,328

 

 

 

HERBALIFE LTD

 

COMMON STOCK USD.002

 

CAYMAN ISLANDS

 

112,900

 

 

 

3,718,926

 

 

 

HOME LOAN SERVICING SOLUTION

 

COMMON STOCK

 

CAYMAN ISLANDS

 

32,300

 

 

 

610,470

 

 

 

ORTHOFIX INTERNATIONAL NV

 

COMMON STOCK USD.1

 

CURACAO

 

18,800

 

 

 

739,404

 

 

 

MICHAEL KORS HOLDINGS LTD

 

COMMON STOCK NPV

 

HONG KONG

 

81,400

 

 

 

4,153,842

 

 

 

ALKERMES PLC

 

COMMON STOCK USD.01

 

IRELAND

 

116,100

 

 

 

2,150,172

 

 

 

GLOBAL INDEMNITY PLC

 

COMMON STOCK USD.0001

 

IRELAND

 

13,004

 

 

 

287,779

 

 

 

JAZZ PHARMACEUTICALS PLC

 

COMMON STOCK USD.0001

 

IRELAND

 

41,800

 

 

 

2,223,760

 

 

 

WARNER CHILCOTT PLC CLASS A

 

COMMON STOCK USD.01

 

IRELAND

 

171,100

 

 

 

2,060,044

 

 

 

MAGICJACK VOCALTEC LTD

 

COMMON STOCK ILS.65

 

ISRAEL

 

14,800

 

 

 

269,508

 

 

 

SCORPIO TANKERS INC

 

COMMON STOCK USD.01

 

MONACO

 

19,900

 

 

 

141,489

 

 

 

CHICAGO BRIDGE + IRON CO NV

 

COMMON STOCK EUR.01

 

NETHERLANDS

 

93,200

 

 

 

4,319,820

 

 

 

CNH GLOBAL N.V.

 

COMMON STOCK USD2.25

 

NETHERLANDS

 

27,400

 

 

 

1,103,946

 

 

 

QIAGEN N.V.

 

COMMON STOCK EUR.01

 

NETHERLANDS

 

239,600

 

 

 

4,348,740

 

 

 

TORNIER NV

 

COMMON STOCK

 

NETHERLANDS

 

9,000

 

 

 

151,110

 

 

 

VISTAPRINT NV

 

COMMON STOCK USD.001

 

NETHERLANDS

 

33,400

 

 

 

1,097,524

 

 

 

NORDIC AMERICAN TANKERS LTD

 

COMMON STOCK USD.01

 

NORWAY

 

51,500

 

 

 

450,625

 

 

 

BANCO LATINOAMERICANO COME E

 

COMMON STOCK NPV

 

PANAMA

 

30,293

 

 

 

653,117

 

 

 

COPA HOLDINGS SA CLASS A

 

COMMON STOCK NPV

 

PANAMA

 

31,933

 

 

 

3,175,737

 

 

 

CENTRAL EURO DISTRIBUTION CP

 

COMMON STOCK USD.01

 

POLAND

 

69,819

 

 

 

151,507

 

 

 

DORAL FINANCIAL CORP

 

COMMON STOCK USD.01

 

PUERTO RICO

 

52,400

 

 

 

37,943

 

 

 

FIRST BANCORP PUERTO RICO

 

COMMON STOCK USD1.

 

PUERTO RICO

 

55,000

 

 

 

251,900

 

 

 

ORIENT EXPRESS HOTELS LTD A

 

COMMON STOCK USD.01

 

PUERTO RICO

 

48,718

 

 

 

650,385

 

 

 

POPULAR INC

 

COMMON STOCK USD.01

 

PUERTO RICO

 

108,084

 

 

 

2,247,066

 

 

 

TRIPLE S MANAGEMENT CORP B

 

COMMON STOCK USD1.

 

PUERTO RICO

 

22,800

 

 

 

421,116

 

 

 

AVAGO TECHNOLOGIES LTD

 

COMMON STOCK

 

SINGAPORE

 

242,300

 

 

 

7,671,218

 

 

 

ALLIED WORLD ASSURANCE CO

 

COMMON STOCK USD12.98

 

SWITZERLAND

 

34,800

 

 

 

2,742,240

 

 

 

1 800 FLOWERS.COM INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,500

 

 

 

100,925

 

 

 

1ST SOURCE CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

17,119

 

 

 

378,159

 

 

 

1ST UNITED BANCORP INC/NORTH

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,000

 

 

 

256,250

 

 

 

3D SYSTEMS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

46,426

 

 

 

2,476,827

 

 

 

8X8 INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

69,300

 

 

 

512,127

 

 

 

AAON INC

 

COMMON STOCK USD.004

 

UNITED STATES

 

23,061

 

 

 

481,283

 

 

 

AAR CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

42,500

 

 

 

793,900

 

 

 

AARON S INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

76,662

 

 

 

2,168,001

 

 

 

ABAXIS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

23,356

 

 

 

866,508

 

 

 

ABIOMED INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,700

 

 

 

467,062

 

 

 

ABM INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

55,400

 

 

 

1,105,230

 

 

 

ABRAXAS PETROLEUM CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

85,900

 

 

 

188,121

 

 

 

ACACIA RESEARCH CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

43,700

 

 

 

1,120,905

 

 

 

ACADIA HEALTHCARE CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,300

 

 

 

450,269

 

 

 

ACADIA REALTY TRUST

 

REIT USD.001

 

UNITED STATES

 

44,907

 

 

 

1,126,268

 

 

 

ACCELRYS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

56,301

 

 

 

509,524

 

 

 

ACCO BRANDS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

111,834

 

 

 

820,862

 

 

 

ACCRETIVE HEALTH INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,800

 

 

 

425,408

 

 

 

ACCURAY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

68,285

 

 

 

439,073

 

 

 

ACCURIDE CORP

 

COMMON STOCK

 

UNITED STATES

 

36,100

 

 

 

115,881

 

 

 

ACETO CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,800

 

 

 

248,992

 

 

 

ACHILLION PHARMACEUTICALS

 

COMMON STOCK USD.001

 

UNITED STATES

 

44,700

 

 

 

358,494

 

 

 

ACI WORLDWIDE INC

 

COMMON STOCK USD.005

 

UNITED STATES

 

40,100

 

 

 

1,751,969

 

 

 

ACME PACKET INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

54,783

 

 

 

1,211,800

 

 

 

ACORDA THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

39,414

 

 

 

979,832

 

 

 

ACTIVE NETWORK INC/THE

 

COMMON STOCK USD.001

 

UNITED STATES

 

34,500

 

 

 

169,395

 

 

 

ACTIVISION BLIZZARD INC

 

COMMON STOCK USD.000001

 

UNITED STATES

 

424,017

 

 

 

4,503,061

 

 

 

ACTUANT CORP A

 

COMMON STOCK USD.2

 

UNITED STATES

 

72,900

 

 

 

2,034,639

 

 

 

ACTUATE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

43,408

 

 

 

243,085

 

 

 

ACUITY BRANDS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,050

 

 

 

2,983,507

 

 

 

ACURA PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

1,600

 

 

 

3,552

 

 

 

ACXIOM CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

75,500

 

 

 

1,318,230

 

 

80



Table of Contents

 

 

 

ADAMS RESOURCES + ENERGY INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

600

 

 

 

21,042

 

 

 

ADTRAN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

65,837

 

 

 

1,286,455

 

 

 

ADVANCE AUTO PARTS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

73,400

 

 

 

5,310,490

 

 

 

ADVANCED ENERGY INDUSTRIES

 

COMMON STOCK USD.001

 

UNITED STATES

 

41,300

 

 

 

570,353

 

 

 

ADVENT SOFTWARE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,596

 

 

 

718,282

 

 

 

ADVISORY BOARD CO/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,004

 

 

 

1,497,467

 

 

 

AECOM TECHNOLOGY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

110,400

 

 

 

2,627,520

 

 

 

AEGERION PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

24,037

 

 

 

610,299

 

 

 

AEGION CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,091

 

 

 

978,379

 

 

 

AEP INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,200

 

 

 

367,226

 

 

 

AEROFLEX HOLDING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,200

 

 

 

120,400

 

 

 

AEROPOSTALE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

87,655

 

 

 

1,140,392

 

 

 

AEROVIRONMENT INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

18,100

 

 

 

393,494

 

 

 

AFC ENTERPRISES

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,375

 

 

 

741,439

 

 

 

AFFILIATED MANAGERS GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,255

 

 

 

6,540,688

 

 

 

AFFYMAX INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

35,300

 

 

 

670,700

 

 

 

AFFYMETRIX INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

76,400

 

 

 

242,188

 

 

 

AG MORTGAGE INVESTMENT TRUST

 

REIT USD.01

 

UNITED STATES

 

12,300

 

 

 

288,804

 

 

 

AGCO CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

97,300

 

 

 

4,779,376

 

 

 

AGILYSYS INC

 

COMMON STOCK USD.3

 

UNITED STATES

 

26,400

 

 

 

220,968

 

 

 

AGREE REALTY CORP

 

REIT USD.0001

 

UNITED STATES

 

13,240

 

 

 

354,700

 

 

 

AIR LEASE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,100

 

 

 

1,356,650

 

 

 

AIR METHODS CORP

 

COMMON STOCK USD.06

 

UNITED STATES

 

38,100

 

 

 

1,405,509

 

 

 

AIR TRANSPORT SERVICES GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,400

 

 

 

230,174

 

 

 

AIRCASTLE LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,200

 

 

 

654,588

 

 

 

AK STEEL HOLDING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

120,400

 

 

 

553,840

 

 

 

AKORN INC

 

COMMON STOCK NPV

 

UNITED STATES

 

61,165

 

 

 

817,164

 

 

 

ALAMO GROUP INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

6,500

 

 

 

212,160

 

 

 

ALASKA AIR GROUP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

71,500

 

 

 

3,080,935

 

 

 

ALBANY INTL CORP CL A

 

COMMON STOCK USD.001

 

UNITED STATES

 

30,760

 

 

 

697,637

 

 

 

ALBEMARLE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

88,687

 

 

 

5,509,236

 

 

 

ALERE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

87,296

 

 

 

1,614,976

 

 

 

ALEXANDER + BALDWIN INC

 

COMMON STOCK

 

UNITED STATES

 

42,924

 

 

 

1,260,678

 

 

 

ALEXANDER S INC

 

REIT USD1.

 

UNITED STATES

 

2,214

 

 

 

732,391

 

 

 

ALEXANDRIA REAL ESTATE EQUIT

 

REIT USD.01

 

UNITED STATES

 

60,293

 

 

 

4,179,511

 

 

 

ALICO INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

4,280

 

 

 

156,776

 

 

 

ALIGN TECHNOLOGY INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

68,400

 

 

 

1,898,100

 

 

 

ALLEGHANY CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

16,473

 

 

 

5,525,374

 

 

 

ALLEGIANT TRAVEL CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,900

 

 

 

1,240,629

 

 

 

ALLETE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

32,200

 

 

 

1,319,556

 

 

 

ALLIANCE DATA SYSTEMS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,900

 

 

 

7,223,524

 

 

 

ALLIANCE FINANCIAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

4,900

 

 

 

213,199

 

 

 

ALLIANCE ONE INTERNATIONAL

 

COMMON STOCK NPV

 

UNITED STATES

 

89,500

 

 

 

325,780

 

 

 

ALLIANT ENERGY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

107,200

 

 

 

4,707,152

 

 

 

ALLIANT TECHSYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,834

 

 

 

2,096,355

 

 

 

ALLIED NEVADA GOLD CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

89,700

 

 

 

2,702,661

 

 

 

ALLISON TRANSMISSION HOLDING

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,600

 

 

 

461,492

 

 

 

ALLOS THERAPEUTICS,INC

 

COMMON STOCK

 

UNITED STATES

 

87,400

 

 

 

0

 

 

 

ALLSCRIPTS HEALTHCARE SOLUTI

 

COMMON STOCK USD.01

 

UNITED STATES

 

168,382

 

 

 

1,586,158

 

 

 

ALMOST FAMILY INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

8,100

 

 

 

164,106

 

 

 

ALNYLAM PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,700

 

 

 

724,525

 

 

 

ALON USA ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,600

 

 

 

155,574

 

 

 

ALPHA + OMEGA SEMICONDUCTOR

 

COMMON STOCK

 

UNITED STATES

 

5,775

 

 

 

48,510

 

 

 

ALPHA NATURAL RESOURCES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

206,500

 

 

 

2,011,310

 

 

 

ALPHATEC HOLDINGS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

34,600

 

 

 

57,090

 

 

 

ALTRA HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

25,200

 

 

 

555,660

 

 

 

AMAG PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,100

 

 

 

369,221

 

 

 

AMC NETWORKS INC A

 

COMMON STOCK

 

UNITED STATES

 

56,200

 

 

 

2,781,900

 

 

 

AMCOL INTERNATIONAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,300

 

 

 

745,524

 

 

 

AMDOCS LTD

 

COMMON STOCK GBP.0001

 

UNITED STATES

 

165,450

 

 

 

5,623,646

 

 

 

AMEDISYS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

30,079

 

 

 

338,990

 

 

 

AMERCO

 

COMMON STOCK USD.25

 

UNITED STATES

 

8,883

 

 

 

1,126,453

 

 

 

AMERESCO INC CL A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

17,400

 

 

 

170,694

 

 

 

AMERICA S CAR MART INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,100

 

 

 

449,772

 

 

 

AMERICAN ASSETS TRUST INC

 

REIT USD.01

 

UNITED STATES

 

32,600

 

 

 

910,518

 

 

 

AMERICAN AXLE + MFG HOLDINGS

 

COMMON STOCK USD.01

 

UNITED STATES

 

66,450

 

 

 

744,240

 

 

 

AMERICAN CAMPUS COMMUNITIES

 

REIT USD.01

 

UNITED STATES

 

103,105

 

 

 

4,756,234

 

 

 

AMERICAN CAPITAL AGENCY CORP

 

REIT USD.01

 

UNITED STATES

 

334,600

 

 

 

9,683,324

 

 

 

AMERICAN CAPITAL LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

326,422

 

 

 

3,917,064

 

 

 

AMERICAN CAPITAL MORTGAGE IN

 

REIT

 

UNITED STATES

 

33,100

 

 

 

780,167

 

 

 

AMERICAN EAGLE OUTFITTERS

 

COMMON STOCK USD.01

 

UNITED STATES

 

200,364

 

 

 

4,109,466

 

 

 

AMERICAN EQUITY INVT LIFE HL

 

COMMON STOCK USD1.

 

UNITED STATES

 

64,400

 

 

 

786,324

 

 

 

AMERICAN FINANCIAL GROUP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

78,739

 

 

 

3,111,765

 

 

 

AMERICAN GREETINGS CORP CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

40,100

 

 

 

677,289

 

 

 

AMERICAN NATIONAL INSURANCE

 

COMMON STOCK USD1.

 

UNITED STATES

 

7,700

 

 

 

525,833

 

 

 

AMERICAN PUBLIC EDUCATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,700

 

 

 

675,257

 

 

 

AMERICAN RAILCAR INDUSTRIES

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,200

 

 

 

291,916

 

 

 

AMERICAN REALTY CAPITAL TRUS

 

REIT

 

UNITED STATES

 

149,800

 

 

 

1,730,190

 

 

 

AMERICAN SCIENCE + ENGINEERI

 

COMMON STOCK USD.667

 

UNITED STATES

 

10,256

 

 

 

668,794

 

 

 

AMERICAN SOFTWARE INC CL A

 

COMMON STOCK USD.1

 

UNITED STATES

 

18,900

 

 

 

146,664

 

 

 

AMERICAN STATES WATER CO

 

COMMON STOCK NPV

 

UNITED STATES

 

20,941

 

 

 

1,004,749

 

 

 

AMERICAN SUPERCONDUCTOR CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

53,400

 

 

 

139,908

 

 

 

AMERICAN VANGUARD CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

22,499

 

 

 

699,044

 

 

 

AMERICAN WATER WORKS CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

170,499

 

 

 

6,330,628

 

 

 

AMERICAN WOODMARK CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

10,300

 

 

 

286,546

 

 

 

AMERIS BANCORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

23,264

 

 

 

290,567

 

 

 

AMERISAFE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,724

 

 

 

537,479

 

 

 

AMERISTAR CASINOS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,600

 

 

 

934,144

 

 

 

AMES NATIONAL CORP

 

COMMON STOCK USD2.

 

UNITED STATES

 

6,179

 

 

 

135,320

 

 

 

AMETEK INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

238,450

 

 

 

8,958,567

 

 

 

AMICUS THERAPEUTICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,800

 

 

 

42,344

 

 

 

AMKOR TECHNOLOGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

91,500

 

 

 

388,875

 

 

 

AMN HEALTHCARE SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,390

 

 

 

408,755

 

 

 

AMPCO PITTSBURGH CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

8,500

 

 

 

169,830

 

 

 

AMPIO PHARMACEUTICALS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

11,200

 

 

 

40,208

 

 

 

AMSURG CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

35,200

 

 

 

1,056,352

 

 

 

AMTRUST FINANCIAL SERVICES

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,171

 

 

 

636,086

 

 

 

AMYRIS INC

 

COMMON STOCK

 

UNITED STATES

 

15,800

 

 

 

49,296

 

 

 

ANADIGICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

84,000

 

 

 

211,680

 

 

 

ANALOGIC CORP

 

COMMON STOCK USD.05

 

UNITED STATES

 

13,600

 

 

 

1,010,480

 

 

 

ANAREN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,300

 

 

 

355,935

 

 

 

ANDERSONS INC/THE

 

COMMON STOCK NPV

 

UNITED STATES

 

19,247

 

 

 

825,696

 

 

 

ANGIE S LIST INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

31,000

 

 

 

371,690

 

 

 

ANGIODYNAMICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,300

 

 

 

322,007

 

 

 

ANIXTER INTERNATIONAL INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

29,150

 

 

 

1,865,017

 

 

 

ANN INC

 

COMMON STOCK USD.0068

 

UNITED STATES

 

48,412

 

 

 

1,638,262

 

 

 

ANNALY CAPITAL MANAGEMENT IN

 

REIT USD.01

 

UNITED STATES

 

955,729

 

 

 

13,418,435

 

 

 

ANSYS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

90,123

 

 

 

6,068,883

 

 

 

ANTARES PHARMA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

87,700

 

 

 

334,137

 

 

 

ANWORTH MORTGAGE ASSET CORP

 

REIT USD.01

 

UNITED STATES

 

128,988

 

 

 

745,551

 

 

 

AOL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,214

 

 

 

2,641,627

 

 

 

APCO OIL AND GAS INTL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

5,600

 

 

 

68,936

 

 

81



Table of Contents

 

 

 

APOGEE ENTERPRISES INC

 

COMMON STOCK USD.333

 

UNITED STATES

 

33,177

 

 

 

795,253

 

 

 

APOLLO COMMERCIAL REAL ESTAT

 

REIT USD.01

 

UNITED STATES

 

14,700

 

 

 

238,581

 

 

 

APOLLO INVESTMENT CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

208,027

 

 

 

1,739,106

 

 

 

APOLLO RESIDENTIAL MORTGAGE

 

REIT USD.01

 

UNITED STATES

 

23,700

 

 

 

478,503

 

 

 

APPLIED INDUSTRIAL TECH INC

 

COMMON STOCK NPV

 

UNITED STATES

 

43,925

 

 

 

1,845,289

 

 

 

APPLIED MICRO CIRCUITS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

76,999

 

 

 

646,792

 

 

 

APPROACH RESOURCES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,100

 

 

 

677,771

 

 

 

APTARGROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

68,044

 

 

 

3,247,060

 

 

 

AQUA AMERICA INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

137,100

 

 

 

3,485,082

 

 

 

ARBITRON INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

29,260

 

 

 

1,365,857

 

 

 

ARC DOCUMENT SOLUTIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,300

 

 

 

92,928

 

 

 

ARCH COAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

212,465

 

 

 

1,555,244

 

 

 

ARCTIC CAT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,900

 

 

 

397,341

 

 

 

ARDEN GROUP INC A

 

COMMON STOCK USD.25

 

UNITED STATES

 

900

 

 

 

80,973

 

 

 

ARENA PHARMACEUTICALS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

212,980

 

 

 

1,921,080

 

 

 

ARES CAPITAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

249,751

 

 

 

4,370,643

 

 

 

ARGAN INC

 

COMMON STOCK USD.15

 

UNITED STATES

 

8,000

 

 

 

144,000

 

 

 

ARIAD PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

166,600

 

 

 

3,195,388

 

 

 

ARKANSAS BEST CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,400

 

 

 

271,220

 

 

 

ARLINGTON ASSET INVESTMENT A

 

COMMON STOCK USD.01

 

UNITED STATES

 

3,500

 

 

 

72,695

 

 

 

ARMOUR RESIDENTIAL REIT INC

 

REIT USD.0001

 

UNITED STATES

 

292,200

 

 

 

1,890,534

 

 

 

ARMSTRONG WORLD INDUSTRIES

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,256

 

 

 

1,129,047

 

 

 

ARQULE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

54,100

 

 

 

150,939

 

 

 

ARRAY BIOPHARMA INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

70,204

 

 

 

261,159

 

 

 

ARRIS GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

120,872

 

 

 

1,805,828

 

 

 

ARROW ELECTRONICS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

111,850

 

 

 

4,259,248

 

 

 

ARROW FINANCIAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

9,513

 

 

 

237,349

 

 

 

ARTESIAN RESOURCES CORP CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

6,641

 

 

 

148,958

 

 

 

ARTHROCARE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

29,000

 

 

 

1,003,110

 

 

 

ARTHUR J GALLAGHER + CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

116,516

 

 

 

4,037,279

 

 

 

ARTIO GLOBAL INVESTORS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

31,823

 

 

 

60,464

 

 

 

ARUBA NETWORKS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

105,400

 

 

 

2,187,050

 

 

 

ASBURY AUTOMOTIVE GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,500

 

 

 

912,855

 

 

 

ASCENA RETAIL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

127,076

 

 

 

2,349,635

 

 

 

ASCENT CAPITAL GROUP INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,019

 

 

 

868,337

 

 

 

ASHFORD HOSPITALITY TRUST

 

REIT USD.01

 

UNITED STATES

 

59,200

 

 

 

622,192

 

 

 

ASHLAND INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

78,200

 

 

 

6,288,062

 

 

 

ASPEN TECHNOLOGY INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

87,200

 

 

 

2,410,208

 

 

 

ASSISTED LIVING CONCEPTS I A

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,800

 

 

 

212,550

 

 

 

ASSOCIATED BANC CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

173,277

 

 

 

2,273,394

 

 

 

ASSOCIATED ESTATES REALTY CP

 

REIT USD.1

 

UNITED STATES

 

43,981

 

 

 

708,974

 

 

 

ASTEC INDUSTRIES INC

 

COMMON STOCK USD.2

 

UNITED STATES

 

21,400

 

 

 

713,262

 

 

 

ASTEX PHARMACEUTICALS

 

COMMON STOCK USD.001

 

UNITED STATES

 

61,000

 

 

 

177,510

 

 

 

ASTORIA FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

94,288

 

 

 

882,536

 

 

 

ASTRONICS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

1,559

 

 

 

33,823

 

 

 

ASTRONICS CORP CL B

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,391

 

 

 

237,746

 

 

 

AT CROSS CO CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

4,600

 

 

 

49,588

 

 

 

ATHENAHEALTH INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,700

 

 

 

2,622,165

 

 

 

ATLANTIC POWER CORP

 

COMMON STOCK

 

UNITED STATES

 

119,000

 

 

 

1,360,170

 

 

 

ATLANTIC TELE NETWORK INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,200

 

 

 

411,152

 

 

 

ATLAS AIR WORLDWIDE HOLDINGS

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,100

 

 

 

1,200,801

 

 

 

ATMEL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

458,687

 

 

 

3,004,400

 

 

 

ATMI INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,600

 

 

 

722,448

 

 

 

ATMOS ENERGY CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

90,450

 

 

 

3,176,604

 

 

 

ATRICURE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,000

 

 

 

96,600

 

 

 

ATRION CORPORATION

 

COMMON STOCK USD.1

 

UNITED STATES

 

1,500

 

 

 

294,000

 

 

 

ATWOOD OCEANICS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

55,970

 

 

 

2,562,866

 

 

 

AUXILIUM PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,900

 

 

 

887,587

 

 

 

AV HOMES INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

8,600

 

 

 

122,292

 

 

 

AVANIR PHARMACEUTICALS INC A

 

COMMON STOCK NPV

 

UNITED STATES

 

143,800

 

 

 

378,194

 

 

 

AVEO PHARMACEUTICALS INC

 

COMMON STOCK

 

UNITED STATES

 

30,800

 

 

 

247,940

 

 

 

AVIAT NETWORKS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

62,598

 

 

 

205,947

 

 

 

AVID TECHNOLOGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,125

 

 

 

251,088

 

 

 

AVIS BUDGET GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

106,820

 

 

 

2,117,172

 

 

 

AVISTA CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

59,612

 

 

 

1,437,245

 

 

 

AVNET INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

145,379

 

 

 

4,450,051

 

 

 

AVX CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,526

 

 

 

544,670

 

 

 

AWARE INC/MASS

 

COMMON STOCK USD.01

 

UNITED STATES

 

2,500

 

 

 

13,700

 

 

 

AXCELIS TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

104,100

 

 

 

144,699

 

 

 

AXIALL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,100

 

 

 

1,448,928

 

 

 

AXT INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

40,300

 

 

 

113,243

 

 

 

AZZ INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

25,200

 

 

 

968,436

 

 

 

B/E AEROSPACE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

99,600

 

 

 

4,920,240

 

 

 

B+G FOODS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

48,800

 

 

 

1,381,528

 

 

 

BABCOCK + WILCOX CO/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

113,998

 

 

 

2,986,748

 

 

 

BADGER METER INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

14,570

 

 

 

690,764

 

 

 

BALCHEM CORP

 

COMMON STOCK USD.0667

 

UNITED STATES

 

30,147

 

 

 

1,097,351

 

 

 

BALDWIN + LYONS INC CL B

 

COMMON STOCK NPV

 

UNITED STATES

 

9,250

 

 

 

220,705

 

 

 

BALLY TECHNOLOGIES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

42,800

 

 

 

1,913,588

 

 

 

BANCFIRST CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

7,800

 

 

 

330,408

 

 

 

BANCORP INC/THE

 

COMMON STOCK USD1.

 

UNITED STATES

 

21,608

 

 

 

237,040

 

 

 

BANCORPSOUTH INC

 

COMMON STOCK USD2.5

 

UNITED STATES

 

96,781

 

 

 

1,407,196

 

 

 

BANK MUTUAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,892

 

 

 

227,436

 

 

 

BANK OF HAWAII CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,200

 

 

 

1,991,060

 

 

 

BANK OF KENTUCKY FINL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

900

 

 

 

22,257

 

 

 

BANK OF MARIN BANCORP/CA

 

COMMON STOCK NPV

 

UNITED STATES

 

5,300

 

 

 

198,538

 

 

 

BANK OF THE OZARKS

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,000

 

 

 

970,630

 

 

 

BANKFINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,955

 

 

 

185,166

 

 

 

BANKRATE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

42,400

 

 

 

527,880

 

 

 

BANKUNITED INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,800

 

 

 

752,752

 

 

 

BANNER CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,100

 

 

 

433,293

 

 

 

BARNES + NOBLE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

29,115

 

 

 

439,345

 

 

 

BARNES GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

53,900

 

 

 

1,210,594

 

 

 

BARRETT BUSINESS SVCS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,300

 

 

 

316,147

 

 

 

BARRY (R.G.)

 

COMMON STOCK USD1.

 

UNITED STATES

 

8,025

 

 

 

113,714

 

 

 

BASIC ENERGY SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,500

 

 

 

279,545

 

 

 

BASSETT FURNITURE INDS

 

COMMON STOCK USD5.

 

UNITED STATES

 

1,800

 

 

 

22,446

 

 

 

BAZAARVOICE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

10,900

 

 

 

101,915

 

 

 

BBCN BANCORP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

70,454

 

 

 

815,153

 

 

 

BEACON ROOFING SUPPLY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,950

 

 

 

1,462,656

 

 

 

BEAZER HOMES USA INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,237

 

 

 

274,243

 

 

 

BEBE STORES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

41,004

 

 

 

163,606

 

 

 

BEL FUSE INC CL B

 

COMMON STOCK USD.1

 

UNITED STATES

 

11,600

 

 

 

226,780

 

 

 

BELDEN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,150

 

 

 

2,121,279

 

 

 

BELO CORPORATION A

 

COMMON STOCK USD.01

 

UNITED STATES

 

94,000

 

 

 

720,980

 

 

 

BENCHMARK ELECTRONICS INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

64,022

 

 

 

1,064,046

 

 

 

BENEFICIAL MUTUAL BANCORP IN

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,300

 

 

 

325,850

 

 

 

BERKSHIRE HILLS BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,095

 

 

 

407,887

 

 

 

BERRY PETROLEUM CO CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,472

 

 

 

1,760,436

 

 

 

BERRY PLASTICS GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,500

 

 

 

538,680

 

 

 

BGC PARTNERS INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

73,425

 

 

 

254,051

 

 

 

BIG 5 SPORTING GOODS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,041

 

 

 

301,837

 

 

82



Table of Contents

 

 

 

BIGLARI HOLDINGS INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

1,310

 

 

 

510,926

 

 

 

BILL BARRETT CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

47,480

 

 

 

844,669

 

 

 

BIO RAD LABORATORIES A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

19,988

 

 

 

2,099,739

 

 

 

BIO REFERENCE LABS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,290

 

 

 

840,330

 

 

 

BIOCRYST PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,200

 

 

 

35,784

 

 

 

BIOMARIN PHARMACEUTICAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

121,400

 

 

 

5,978,950

 

 

 

BIOMED REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

158,000

 

 

 

3,054,140

 

 

 

BIOSCRIP INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

43,200

 

 

 

465,264

 

 

 

BIOSPECIFICS TECHNOLOGIES

 

COMMON STOCK USD.001

 

UNITED STATES

 

4,005

 

 

 

59,875

 

 

 

BIOTIME INC

 

COMMON STOCK NPV

 

UNITED STATES

 

19,400

 

 

 

60,916

 

 

 

BJ S RESTAURANTS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

24,600

 

 

 

809,340

 

 

 

BLACK BOX CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,500

 

 

 

474,630

 

 

 

BLACK DIAMOND INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

8,400

 

 

 

68,880

 

 

 

BLACK HILLS CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

42,450

 

 

 

1,542,633

 

 

 

BLACKBAUD INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

43,400

 

 

 

990,822

 

 

 

BLACKROCK KELSO CAPITAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

65,324

 

 

 

657,159

 

 

 

BLOOMIN BRANDS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,000

 

 

 

281,520

 

 

 

BLOUNT INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,600

 

 

 

784,672

 

 

 

BLUCORA INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

38,900

 

 

 

611,119

 

 

 

BLUE NILE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

15,410

 

 

 

593,285

 

 

 

BLUEGREEN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

3,100

 

 

 

29,078

 

 

 

BLYTH INC

 

COMMON STOCK USD.02

 

UNITED STATES

 

13,300

 

 

 

206,815

 

 

 

BOB EVANS FARMS

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,100

 

 

 

1,290,420

 

 

 

BODY CENTRAL CORP

 

COMMON STOCK

 

UNITED STATES

 

13,200

 

 

 

131,472

 

 

 

BOFI HOLDING INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,300

 

 

 

398,541

 

 

 

BOISE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

100,800

 

 

 

801,360

 

 

 

BOK FINANCIAL CORPORATION

 

COMMON STOCK USD.00006

 

UNITED STATES

 

26,452

 

 

 

1,440,576

 

 

 

BOLT TECHNOLOGY CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

1,300

 

 

 

18,551

 

 

 

BON TON STORES INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,600

 

 

 

128,472

 

 

 

BONANZA CREEK ENERGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

10,000

 

 

 

277,900

 

 

 

BOOZ ALLEN HAMILTON HOLDINGS

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,600

 

 

 

286,752

 

 

 

BOSTON BEER COMPANY INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,200

 

 

 

1,102,490

 

 

 

BOSTON PRIVATE FINL HOLDING

 

COMMON STOCK USD1.

 

UNITED STATES

 

82,155

 

 

 

740,217

 

 

 

BOTTOMLINE TECHNOLOGIES (DE)

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,569

 

 

 

965,056

 

 

 

BOULDER BRANDS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

59,800

 

 

 

771,420

 

 

 

BOYD GAMING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

60,600

 

 

 

402,384

 

 

 

BPZ RESOURCES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

99,800

 

 

 

314,370

 

 

 

BRADY CORPORATION CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,400

 

 

 

1,649,960

 

 

 

BRANDYWINE REALTY TRUST

 

REIT USD.01

 

UNITED STATES

 

145,308

 

 

 

1,771,305

 

 

 

BRAVO BRIO RESTAURANT GROUP

 

COMMON STOCK NPV

 

UNITED STATES

 

17,400

 

 

 

233,682

 

 

 

BRE PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

75,800

 

 

 

3,852,914

 

 

 

BRIDGE BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,400

 

 

 

130,176

 

 

 

BRIDGE CAPITAL HOLDINGS

 

COMMON STOCK NPV

 

UNITED STATES

 

4,350

 

 

 

67,686

 

 

 

BRIDGEPOINT EDUCATION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,300

 

 

 

147,290

 

 

 

BRIGGS + STRATTON

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,900

 

 

 

1,072,972

 

 

 

BRINK S CO/THE

 

COMMON STOCK USD1.

 

UNITED STATES

 

47,100

 

 

 

1,343,763

 

 

 

BRINKER INTERNATIONAL INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

75,754

 

 

 

2,347,616

 

 

 

BRISTOW GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,227

 

 

 

1,997,601

 

 

 

BROADRIDGE FINANCIAL SOLUTIO

 

COMMON STOCK USD.01

 

UNITED STATES

 

126,600

 

 

 

2,896,608

 

 

 

BROADSOFT INC

 

COMMON STOCK

 

UNITED STATES

 

20,500

 

 

 

744,765

 

 

 

BROCADE COMMUNICATIONS SYS

 

COMMON STOCK USD.001

 

UNITED STATES

 

449,099

 

 

 

2,393,698

 

 

 

BROOKDALE SENIOR LIVING INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

99,500

 

 

 

2,519,340

 

 

 

BROOKLINE BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

74,223

 

 

 

630,896

 

 

 

BROOKS AUTOMATION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

74,893

 

 

 

602,889

 

 

 

BROWN + BROWN INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

115,100

 

 

 

2,930,446

 

 

 

BROWN SHOE COMPANY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,125

 

 

 

792,206

 

 

 

BRUKER CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

87,407

 

 

 

1,334,705

 

 

 

BRUNSWICK CORP

 

COMMON STOCK USD.75

 

UNITED STATES

 

92,100

 

 

 

2,679,189

 

 

 

BRYN MAWR BANK CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

13,900

 

 

 

309,553

 

 

 

BUCKEYE TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,250

 

 

 

1,184,288

 

 

 

BUCKLE INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,475

 

 

 

1,226,484

 

 

 

BUFFALO WILD WINGS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

18,200

 

 

 

1,325,324

 

 

 

BUILDERS FIRSTSOURCE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

67,617

 

 

 

377,303

 

 

 

C+J ENERGY SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,700

 

 

 

872,608

 

 

 

CABELA S INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,600

 

 

 

1,736,800

 

 

 

CABOT CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

64,000

 

 

 

2,546,560

 

 

 

CABOT MICROELECTRONICS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

25,155

 

 

 

893,254

 

 

 

CACI INTERNATIONAL INC CL A

 

COMMON STOCK USD.1

 

UNITED STATES

 

25,616

 

 

 

1,409,648

 

 

 

CADENCE DESIGN SYS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

276,955

 

 

 

3,741,662

 

 

 

CADENCE PHARMACEUTICALS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

29,900

 

 

 

143,221

 

 

 

CADIZ INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,300

 

 

 

113,256

 

 

 

CAESARS ENTERTAINMENT CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,900

 

 

 

255,348

 

 

 

CAI INTERNATIONAL INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

10,500

 

 

 

230,475

 

 

 

CAL DIVE INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

84,841

 

 

 

146,775

 

 

 

CAL MAINE FOODS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,790

 

 

 

594,854

 

 

 

CALAMOS ASSET MANAGEMENT A

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,380

 

 

 

236,557

 

 

 

CALAVO GROWERS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

12,600

 

 

 

317,646

 

 

 

CALGON CARBON CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

58,500

 

 

 

829,530

 

 

 

CALIFORNIA FIRST NATL BANCOR

 

COMMON STOCK USD.01

 

UNITED STATES

 

2,950

 

 

 

44,103

 

 

 

CALIFORNIA WATER SERVICE GRP

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,400

 

 

 

759,690

 

 

 

CALIX NETWORKS INC

 

COMMON STOCK

 

UNITED STATES

 

34,300

 

 

 

263,767

 

 

 

CALLAWAY GOLF COMPANY

 

COMMON STOCK USD.01

 

UNITED STATES

 

73,773

 

 

 

479,525

 

 

 

CALLIDUS SOFTWARE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

43,400

 

 

 

197,036

 

 

 

CALLON PETROLEUM CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,800

 

 

 

163,560

 

 

 

CALPINE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

388,415

 

 

 

7,041,964

 

 

 

CAMBREX CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

31,700

 

 

 

360,746

 

 

 

CAMDEN NATIONAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

9,900

 

 

 

336,303

 

 

 

CAMDEN PROPERTY TRUST

 

REIT USD.01

 

UNITED STATES

 

79,098

 

 

 

5,395,275

 

 

 

CAMPUS CREST COMMUNITIES INC

 

REIT USD.01

 

UNITED STATES

 

36,900

 

 

 

452,394

 

 

 

CANTEL MEDICAL CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

20,482

 

 

 

608,930

 

 

 

CAPE BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,000

 

 

 

78,210

 

 

 

CAPELLA EDUCATION CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,000

 

 

 

451,680

 

 

 

CAPITAL CITY BANK GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

13,681

 

 

 

155,553

 

 

 

CAPITAL SENIOR LIVING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,200

 

 

 

527,058

 

 

 

CAPITAL SOUTHWEST CORP

 

CAPITAL SOUTHWEST CORP

 

UNITED STATES

 

2,900

 

 

 

288,927

 

 

 

CAPITALSOURCE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

232,173

 

 

 

1,759,871

 

 

 

CAPITOL FEDERAL FINANCIAL IN

 

COMMON STOCK USD.01

 

UNITED STATES

 

171,465

 

 

 

2,004,426

 

 

 

CAPLEASE INC

 

REIT USD.01

 

UNITED STATES

 

46,853

 

 

 

260,971

 

 

 

CAPSTEAD MORTGAGE CORP

 

REIT USD.01

 

UNITED STATES

 

96,100

 

 

 

1,102,267

 

 

 

CAPSTONE TURBINE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

181,700

 

 

 

161,713

 

 

 

CARBO CERAMICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,550

 

 

 

1,609,887

 

 

 

CARDINAL FINANCIAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

28,800

 

 

 

468,576

 

 

 

CARDIOVASCULAR SYSTEMS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

8,900

 

 

 

111,695

 

 

 

CARDTRONICS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

39,508

 

 

 

937,920

 

 

 

CAREER EDUCATION CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

62,600

 

 

 

220,352

 

 

 

CARIBOU COFFEE CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,800

 

 

 

174,852

 

 

 

CARLISLE COS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

59,400

 

 

 

3,490,344

 

 

 

CARPENTER TECHNOLOGY

 

COMMON STOCK USD5.

 

UNITED STATES

 

44,878

 

 

 

2,317,051

 

 

 

CARRIZO OIL + GAS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,040

 

 

 

900,397

 

 

 

CARROLS RESTAURANT GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,200

 

 

 

49,036

 

 

 

CARTER S INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,000

 

 

 

2,782,500

 

 

 

CASELLA WASTE SYSTEMS INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,700

 

 

 

73,146

 

 

83



Table of Contents

 

 

 

CASEY S GENERAL STORES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

37,150

 

 

 

1,972,665

 

 

 

CASH AMERICA INTL INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

29,800

 

 

 

1,182,166

 

 

 

CASS INFORMATION SYSTEMS INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

11,265

 

 

 

475,383

 

 

 

CASTLE (A.M.) + CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,000

 

 

 

280,630

 

 

 

CATAMARAN CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

197,834

 

 

 

9,319,960

 

 

 

CATHAY GENERAL BANCORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

84,482

 

 

 

1,647,399

 

 

 

CATO CORP CLASS A

 

COMMON STOCK USD.033

 

UNITED STATES

 

27,050

 

 

 

741,982

 

 

 

CAVCO INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,200

 

 

 

309,876

 

 

 

CAVIUM INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

47,700

 

 

 

1,488,717

 

 

 

CBEYOND INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,389

 

 

 

238,557

 

 

 

CBIZ INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,943

 

 

 

259,703

 

 

 

CBL + ASSOCIATES PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

150,530

 

 

 

3,192,741

 

 

 

CBOE HOLDINGS INC

 

COMMON STOCK

 

UNITED STATES

 

83,400

 

 

 

2,456,964

 

 

 

CDI CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

12,285

 

 

 

210,442

 

 

 

CEC ENTERTAINMENT INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

18,175

 

 

 

603,228

 

 

 

CECO ENVIRONMENTAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

1,600

 

 

 

15,920

 

 

 

CEDAR REALTY TRUST INC

 

REIT USD.06

 

UNITED STATES

 

59,900

 

 

 

316,272

 

 

 

CELADON GROUP INC

 

COMMON STOCK USD.033

 

UNITED STATES

 

20,380

 

 

 

368,267

 

 

 

CELANESE CORP SERIES A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

151,300

 

 

 

6,737,389

 

 

 

CELLDEX THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,000

 

 

 

181,170

 

 

 

CENTENE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

49,900

 

 

 

2,045,900

 

 

 

CENTER BANCORP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

3,100

 

 

 

35,898

 

 

 

CENTERSTATE BANKS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,000

 

 

 

170,600

 

 

 

CENTRAL GARDEN AND PET CO A

 

COMMON STOCK USD.01

 

UNITED STATES

 

42,200

 

 

 

440,990

 

 

 

CENTRAL PACIFIC FINANCIAL CO

 

COMMON STOCK NPV

 

UNITED STATES

 

5,600

 

 

 

87,304

 

 

 

CENTURY ALUMINUM COMPANY

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,000

 

 

 

446,760

 

 

 

CENTURY BANCORP INC CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

3,800

 

 

 

125,210

 

 

 

CENVEO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,945

 

 

 

156,452

 

 

 

CEPHEID INC

 

COMMON STOCK NPV

 

UNITED STATES

 

66,600

 

 

 

2,251,746

 

 

 

CERUS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,000

 

 

 

113,760

 

 

 

CEVA INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,200

 

 

 

412,650

 

 

 

CH ENERGY GROUP INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

17,100

 

 

 

1,115,262

 

 

 

CHARLES RIVER LABORATORIES

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,736

 

 

 

1,938,548

 

 

 

CHART INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,970

 

 

 

1,931,430

 

 

 

CHARTER COMMUNICATION A

 

COMMON STOCK

 

UNITED STATES

 

46,800

 

 

 

3,568,032

 

 

 

CHARTER FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,500

 

 

 

68,900

 

 

 

CHASE CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

4,100

 

 

 

76,260

 

 

 

CHATHAM LODGING TRUST

 

REIT

 

UNITED STATES

 

4,100

 

 

 

63,058

 

 

 

CHECKPOINT SYSTEMS INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

37,300

 

 

 

400,602

 

 

 

CHEESECAKE FACTORY INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,850

 

 

 

1,892,852

 

 

 

CHEFS WAREHOUSE INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,200

 

 

 

240,312

 

 

 

CHEMED CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

19,900

 

 

 

1,364,941

 

 

 

CHEMICAL FINANCIAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

28,756

 

 

 

683,243

 

 

 

CHEMTURA CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,800

 

 

 

1,909,148

 

 

 

CHENIERE ENERGY INC

 

COMMON STOCK USD.003

 

UNITED STATES

 

210,736

 

 

 

3,957,622

 

 

 

CHEROKEE INC

 

COMMON STOCK USD.02

 

UNITED STATES

 

8,100

 

 

 

111,051

 

 

 

CHESAPEAKE LODGING TRUST

 

REIT USD.01

 

UNITED STATES

 

34,100

 

 

 

712,008

 

 

 

CHESAPEAKE UTILITIES CORP

 

COMMON STOCK USD.4867

 

UNITED STATES

 

9,402

 

 

 

426,851

 

 

 

CHICO S FAS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

169,300

 

 

 

3,125,278

 

 

 

CHILDREN S PLACE

 

COMMON STOCK USD.1

 

UNITED STATES

 

24,600

 

 

 

1,089,534

 

 

 

CHIMERA INVESTMENT CORP

 

REIT USD.01

 

UNITED STATES

 

1,031,700

 

 

 

2,692,737

 

 

 

CHINDEX INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,400

 

 

 

182,700

 

 

 

CHIQUITA BRANDS INTL

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,000

 

 

 

404,250

 

 

 

CHOICE HOTELS INTL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,097

 

 

 

911,001

 

 

 

CHURCH + DWIGHT CO INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

137,110

 

 

 

7,344,983

 

 

 

CHURCHILL DOWNS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

12,908

 

 

 

857,737

 

 

 

CIBER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

78,100

 

 

 

260,854

 

 

 

CIENA CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

97,700

 

 

 

1,533,890

 

 

 

CIMAREX ENERGY CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

82,752

 

 

 

4,777,273

 

 

 

CINCINNATI BELL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

200,587

 

 

 

1,099,217

 

 

 

CINEMARK HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

109,700

 

 

 

2,850,006

 

 

 

CIRCOR INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,872

 

 

 

667,962

 

 

 

CIRRUS LOGIC INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

66,900

 

 

 

1,938,093

 

 

 

CIT GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

194,500

 

 

 

7,515,480

 

 

 

CITI TRENDS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,247

 

 

 

209,799

 

 

 

CITIZENS + NORTHERN CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

12,596

 

 

 

238,064

 

 

 

CITIZENS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

38,100

 

 

 

421,005

 

 

 

CITIZENS REPUBLIC BANCORP IN

 

COMMON STOCK NPV

 

UNITED STATES

 

35,800

 

 

 

679,126

 

 

 

CITY HOLDING CO

 

COMMON STOCK USD2.5

 

UNITED STATES

 

17,900

 

 

 

623,815

 

 

 

CITY NATIONAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

46,300

 

 

 

2,292,776

 

 

 

CLARCOR INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

51,700

 

 

 

2,470,226

 

 

 

CLAYTON WILLIAMS ENERGY INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

6,000

 

 

 

240,000

 

 

 

CLEAN ENERGY FUELS CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

60,600

 

 

 

754,470

 

 

 

CLEAN HARBORS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,620

 

 

 

2,619,576

 

 

 

CLEAR CHANNEL OUTDOOR CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,300

 

 

 

310,986

 

 

 

CLEARWATER PAPER CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

24,516

 

 

 

960,047

 

 

 

CLEARWIRE CORP CLASS A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

344,147

 

 

 

994,585

 

 

 

CLECO CORPORATION

 

COMMON STOCK USD1.

 

UNITED STATES

 

61,308

 

 

 

2,452,933

 

 

 

CLIFTON SAVINGS BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,691

 

 

 

131,758

 

 

 

CLOUD PEAK ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

56,400

 

 

 

1,090,212

 

 

 

CLOVIS ONCOLOGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,700

 

 

 

267,200

 

 

 

CNA FINANCIAL CORP

 

COMMON STOCK USD2.5

 

UNITED STATES

 

28,724

 

 

 

804,559

 

 

 

CNB FINANCIAL CORP/PA

 

COMMON STOCK NPV

 

UNITED STATES

 

12,700

 

 

 

208,026

 

 

 

CNO FINANCIAL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

207,239

 

 

 

1,933,540

 

 

 

COBALT INTERNATIONAL ENERGY

 

COMMON STOCK USD.01

 

UNITED STATES

 

177,200

 

 

 

4,352,032

 

 

 

COBIZ FINANCIAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,586

 

 

 

340,527

 

 

 

COCA COLA BOTTLING CO CONSOL

 

COMMON STOCK USD1.

 

UNITED STATES

 

5,000

 

 

 

332,500

 

 

 

CODEXIS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

5,536

 

 

 

12,235

 

 

 

COEUR D ALENE MINES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,317

 

 

 

2,197,198

 

 

 

COGENT COMMUNICATIONS GROUP

 

COMMON STOCK USD.001

 

UNITED STATES

 

45,194

 

 

 

1,023,192

 

 

 

COGNEX CORP

 

COMMON STOCK USD.002

 

UNITED STATES

 

41,700

 

 

 

1,535,394

 

 

 

COHEN + STEERS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,899

 

 

 

545,383

 

 

 

COHERENT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,514

 

 

 

1,190,279

 

 

 

COHU INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

26,925

 

 

 

291,867

 

 

 

COINSTAR INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

32,700

 

 

 

1,700,727

 

 

 

COLFAX CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

40,800

 

 

 

1,646,280

 

 

 

COLONIAL PROPERTIES TRUST

 

REIT USD.01

 

UNITED STATES

 

89,960

 

 

 

1,922,445

 

 

 

COLONY FINANCIAL INC

 

REIT USD.01

 

UNITED STATES

 

55,400

 

 

 

1,080,300

 

 

 

COLUMBIA BANKING SYSTEM INC

 

COMMON STOCK NPV

 

UNITED STATES

 

40,827

 

 

 

732,436

 

 

 

COLUMBIA SPORTSWEAR CO

 

COMMON STOCK NPV

 

UNITED STATES

 

13,450

 

 

 

717,692

 

 

 

COLUMBUS MCKINNON CORP/NY

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,000

 

 

 

363,440

 

 

 

COMFORT SYSTEMS USA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,900

 

 

 

558,144

 

 

 

COMMERCE BANCSHARES INC

 

COMMON STOCK USD5.

 

UNITED STATES

 

81,014

 

 

 

2,840,344

 

 

 

COMMERCIAL METALS CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

118,872

 

 

 

1,766,438

 

 

 

COMMERCIAL VEHICLE GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,400

 

 

 

159,274

 

 

 

COMMONWEALTH REIT

 

REIT USD.01

 

UNITED STATES

 

80,960

 

 

 

1,282,406

 

 

 

COMMUNITY BANK SYSTEM INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

39,040

 

 

 

1,068,134

 

 

 

COMMUNITY HEALTH SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

88,500

 

 

 

2,720,490

 

 

 

COMMUNITY TRUST BANCORP INC

 

COMMON STOCK USD5.

 

UNITED STATES

 

14,257

 

 

 

467,344

 

 

 

COMMVAULT SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,200

 

 

 

3,150,892

 

 

 

COMPASS MINERALS INTERNATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,200

 

 

 

2,555,082

 

 

 

COMPUTER PROGRAMS + SYSTEMS

 

COMMON STOCK USD.001

 

UNITED STATES

 

11,100

 

 

 

558,774

 

 

84



Table of Contents

 

 

 

COMPUTER TASK GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,452

 

 

 

299,920

 

 

 

COMPUWARE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

223,800

 

 

 

2,432,706

 

 

 

COMSCORE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

33,407

 

 

 

460,348

 

 

 

COMSTOCK RESOURCES INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

49,133

 

 

 

743,382

 

 

 

COMTECH TELECOMMUNICATIONS

 

COMMON STOCK USD.1

 

UNITED STATES

 

18,575

 

 

 

471,434

 

 

 

COMVERSE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,450

 

 

 

583,439

 

 

 

COMVERSE TECHNOLOGY INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

204,500

 

 

 

785,280

 

 

 

CON WAY INC

 

COMMON STOCK USD.625

 

UNITED STATES

 

54,784

 

 

 

1,524,091

 

 

 

CONCEPTUS INC

 

COMMON STOCK USD.003

 

UNITED STATES

 

36,920

 

 

 

775,689

 

 

 

CONCHO RESOURCES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

101,900

 

 

 

8,209,064

 

 

 

CONCUR TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

45,200

 

 

 

3,051,904

 

 

 

CONMED CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,490

 

 

 

852,196

 

 

 

CONN S INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,131

 

 

 

464,219

 

 

 

CONNECTICUT WATER SVC INC

 

COMMON STOCK NPV

 

UNITED STATES

 

9,800

 

 

 

291,844

 

 

 

CONS TOMOKA LAND CO FLORIDA

 

COMMON STOCK USD1.

 

UNITED STATES

 

6,600

 

 

 

204,666

 

 

 

CONSOLIDATED COMMUNICATIONS

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,858

 

 

 

475,339

 

 

 

CONSOLIDATED GRAPHICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,113

 

 

 

318,226

 

 

 

CONSTANT CONTACT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,829

 

 

 

423,870

 

 

 

CONTANGO OIL + GAS

 

COMMON STOCK USD.04

 

UNITED STATES

 

13,600

 

 

 

576,096

 

 

 

CONTINENTAL RESOURCES INC/OK

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,565

 

 

 

3,054,612

 

 

 

CONVERGYS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

112,800

 

 

 

1,851,048

 

 

 

COOPER COS INC/THE

 

COMMON STOCK USD.1

 

UNITED STATES

 

47,388

 

 

 

4,382,442

 

 

 

COOPER TIRE + RUBBER

 

COMMON STOCK USD1.

 

UNITED STATES

 

64,550

 

 

 

1,636,988

 

 

 

COPART INC

 

COMMON STOCK NPV

 

UNITED STATES

 

102,912

 

 

 

3,035,904

 

 

 

CORCEPT THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

21,000

 

 

 

30,030

 

 

 

CORE MARK HOLDING CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,700

 

 

 

553,995

 

 

 

CORELOGIC INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

95,043

 

 

 

2,558,558

 

 

 

CORESITE REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

24,200

 

 

 

669,372

 

 

 

CORINTHIAN COLLEGES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

89,200

 

 

 

217,648

 

 

 

CORNERSTONE ONDEMAND INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

30,300

 

 

 

894,759

 

 

 

CORNERSTONE THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

600

 

 

 

2,838

 

 

 

CORPORATE EXECUTIVE BOARD CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,246

 

 

 

1,720,235

 

 

 

CORPORATE OFFICE PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

76,373

 

 

 

1,907,798

 

 

 

CORRECTIONS CORP OF AMERICA

 

REIT USD.01

 

UNITED STATES

 

99,171

 

 

 

3,517,595

 

 

 

CORVEL CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

7,850

 

 

 

351,916

 

 

 

COSTAR GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,825

 

 

 

2,486,720

 

 

 

COURIER CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

12,150

 

 

 

133,650

 

 

 

COUSINS PROPERTIES INC

 

REIT USD1.

 

UNITED STATES

 

99,150

 

 

 

827,903

 

 

 

COVANCE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

55,872

 

 

 

3,227,725

 

 

 

COVANTA HOLDING CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

103,010

 

 

 

1,897,444

 

 

 

COWEN GROUP INC CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,450

 

 

 

101,553

 

 

 

CPI AEROSTRUCTURES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

900

 

 

 

9,009

 

 

 

CRA INTERNATIONAL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

11,600

 

 

 

229,332

 

 

 

CRACKER BARREL OLD COUNTRY

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,193

 

 

 

1,233,342

 

 

 

CRANE CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

49,887

 

 

 

2,308,770

 

 

 

CRAWFORD + CO CL B

 

COMMON STOCK USD1.

 

UNITED STATES

 

34,733

 

 

 

277,169

 

 

 

CRAY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,330

 

 

 

643,264

 

 

 

CREDIT ACCEPTANCE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,541

 

 

 

665,089

 

 

 

CREE INC

 

COMMON STOCK USD.00125

 

UNITED STATES

 

116,700

 

 

 

3,965,466

 

 

 

CREXUS INVESTMENT CORP

 

REIT USD.01

 

UNITED STATES

 

56,100

 

 

 

687,225

 

 

 

CROCS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

92,600

 

 

 

1,332,514

 

 

 

CROSS COUNTRY HEALTHCARE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

39,071

 

 

 

187,541

 

 

 

CROSSTEX ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,900

 

 

 

543,486

 

 

 

CROWN HOLDINGS INC

 

COMMON STOCK USD5.

 

UNITED STATES

 

143,750

 

 

 

5,291,438

 

 

 

CROWN MEDIA HOLDINGS CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,100

 

 

 

29,785

 

 

 

CRYOLIFE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

42,300

 

 

 

263,529

 

 

 

CSG SYSTEMS INTL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,800

 

 

 

741,744

 

 

 

CSS INDUSTRIES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

7,695

 

 

 

168,444

 

 

 

CTS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

39,530

 

 

 

420,204

 

 

 

CUBESMART

 

REIT USD.01

 

UNITED STATES

 

129,900

 

 

 

1,892,643

 

 

 

CUBIC CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

16,013

 

 

 

768,144

 

 

 

CUBIST PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

64,350

 

 

 

2,706,561

 

 

 

CULLEN/FROST BANKERS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,325

 

 

 

2,839,678

 

 

 

CULP INC

 

COMMON STOCK USD.05

 

UNITED STATES

 

1,900

 

 

 

28,519

 

 

 

CURIS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

84,300

 

 

 

289,149

 

 

 

CURTISS WRIGHT CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

48,661

 

 

 

1,597,541

 

 

 

CVB FINANCIAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

94,536

 

 

 

983,174

 

 

 

CVR ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

82,100

 

 

 

0

 

 

 

CVR ENERGY INC

 

COMMON STOCK

 

UNITED STATES

 

14,000

 

 

 

683,060

 

 

 

CYBERONICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,250

 

 

 

1,431,443

 

 

 

CYMER INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

32,400

 

 

 

2,929,932

 

 

 

CYNOSURE INC A

 

COMMON STOCK USD.001

 

UNITED STATES

 

9,100

 

 

 

219,401

 

 

 

CYPRESS SEMICONDUCTOR CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

158,994

 

 

 

1,723,495

 

 

 

CYS INVESTMENTS INC

 

REIT USD.01

 

UNITED STATES

 

163,200

 

 

 

1,927,392

 

 

 

CYTEC INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,600

 

 

 

3,276,308

 

 

 

CYTORI THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,800

 

 

 

75,576

 

 

 

DAILY JOURNAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

200

 

 

 

18,510

 

 

 

DAKTRONICS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

35,900

 

 

 

397,413

 

 

 

DANA HOLDING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

149,184

 

 

 

2,328,762

 

 

 

DARLING INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

116,478

 

 

 

1,868,307

 

 

 

DAWSON GEOPHYSICAL CO

 

COMMON STOCK USD.333

 

UNITED STATES

 

9,000

 

 

 

237,420

 

 

 

DCT INDUSTRIAL TRUST INC

 

REIT USD.01

 

UNITED STATES

 

252,103

 

 

 

1,636,148

 

 

 

DDR CORP

 

REIT USD.1

 

UNITED STATES

 

233,311

 

 

 

3,653,650

 

 

 

DEALERTRACK TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,585

 

 

 

1,251,761

 

 

 

DECKERS OUTDOOR CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,100

 

 

 

1,574,557

 

 

 

DELEK US HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,400

 

 

 

313,968

 

 

 

DELTA AIR LINES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

824,316

 

 

 

9,784,631

 

 

 

DELTA APPAREL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

3,000

 

 

 

41,940

 

 

 

DELTA NATURAL GAS CO INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

1,300

 

 

 

25,415

 

 

 

DELTIC TIMBER CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,400

 

 

 

805,068

 

 

 

DELUXE CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

51,450

 

 

 

1,658,748

 

 

 

DEMAND MEDIA INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

23,800

 

 

 

221,102

 

 

 

DENDREON CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

168,000

 

 

 

887,040

 

 

 

DENNY S CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

106,039

 

 

 

517,470

 

 

 

DEPOMED INC

 

COMMON STOCK NPV

 

UNITED STATES

 

53,800

 

 

 

333,022

 

 

 

DESTINATION MATERNITY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,186

 

 

 

219,610

 

 

 

DESTINATION XL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,400

 

 

 

47,880

 

 

 

DEVRY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

67,600

 

 

 

1,604,148

 

 

 

DEXCOM INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

66,990

 

 

 

911,734

 

 

 

DFC GLOBAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

40,900

 

 

 

757,059

 

 

 

DIAMOND FOODS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

21,500

 

 

 

293,905

 

 

 

DIAMOND HILL INVESTMENT GRP

 

COMMON STOCK NPV

 

UNITED STATES

 

2,500

 

 

 

169,650

 

 

 

DIAMONDROCK HOSPITALITY CO

 

REIT USD.01

 

UNITED STATES

 

158,846

 

 

 

1,429,614

 

 

 

DICE HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,826

 

 

 

402,323

 

 

 

DICK S SPORTING GOODS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,432

 

 

 

4,068,262

 

 

 

DIEBOLD INC

 

COMMON STOCK USD1.25

 

UNITED STATES

 

61,225

 

 

 

1,874,097

 

 

 

DIGI INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,379

 

 

 

240,339

 

 

 

DIGIMARC CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

2,600

 

 

 

53,820

 

 

 

DIGITAL GENERATION INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

25,000

 

 

 

271,500

 

 

 

DIGITAL REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

119,269

 

 

 

8,097,172

 

 

 

DIGITAL RIVER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,900

 

 

 

602,941

 

 

 

DIGITALGLOBE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,400

 

 

 

889,616

 

 

85



Table of Contents

 

 

 

DILLARDS INC CL A

 

COMMON STOCK NPV

 

UNITED STATES

 

29,700

 

 

 

2,487,969

 

 

 

DIME COMMUNITY BANCSHARES

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,966

 

 

 

444,008

 

 

 

DINEEQUITY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,100

 

 

 

1,011,700

 

 

 

DIODES INC

 

COMMON STOCK USD.667

 

UNITED STATES

 

37,249

 

 

 

646,270

 

 

 

DISH NETWORK CORP A

 

COMMON STOCK USD.01

 

UNITED STATES

 

202,727

 

 

 

7,379,263

 

 

 

DOLAN CO/THE

 

COMMON STOCK USD.001

 

UNITED STATES

 

39,200

 

 

 

152,488

 

 

 

DOLBY LABORATORIES INC CL A

 

COMMON STOCK USD.001

 

UNITED STATES

 

52,140

 

 

 

1,529,266

 

 

 

DOLE FOOD CO INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

38,600

 

 

 

442,742

 

 

 

DOMINO S PIZZA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,428

 

 

 

2,500,989

 

 

 

DONALDSON CO INC

 

COMMON STOCK USD5.

 

UNITED STATES

 

147,800

 

 

 

4,853,752

 

 

 

DONEGAL GROUP INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

13,366

 

 

 

187,659

 

 

 

DORMAN PRODUCTS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,160

 

 

 

889,154

 

 

 

DOUGLAS DYNAMICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,800

 

 

 

299,312

 

 

 

DOUGLAS EMMETT INC

 

REIT USD.01

 

UNITED STATES

 

138,687

 

 

 

3,231,407

 

 

 

DREAMWORKS ANIMATION SKG A

 

COMMON STOCK USD.01

 

UNITED STATES

 

70,800

 

 

 

1,173,156

 

 

 

DRESSER RAND GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

76,500

 

 

 

4,294,710

 

 

 

DREW INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,400

 

 

 

657,900

 

 

 

DRIL QUIP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,700

 

 

 

2,827,035

 

 

 

DSP GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

33,100

 

 

 

190,656

 

 

 

DST SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,917

 

 

 

2,115,970

 

 

 

DSW INC CLASS A

 

COMMON STOCK NPV

 

UNITED STATES

 

32,964

 

 

 

2,165,405

 

 

 

DTS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

19,478

 

 

 

325,283

 

 

 

DUFF + PHELPS CORP CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,100

 

 

 

376,442

 

 

 

DUKE REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

262,400

 

 

 

3,639,488

 

 

 

DUNKIN BRANDS GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

69,700

 

 

 

2,312,646

 

 

 

DUPONT FABROS TECHNOLOGY

 

REIT USD.001

 

UNITED STATES

 

55,200

 

 

 

1,333,632

 

 

 

DXP ENTERPRISES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,605

 

 

 

422,247

 

 

 

DYAX CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

77,500

 

 

 

269,700

 

 

 

DYCOM INDUSTRIES INC

 

COMMON STOCK USD.333

 

UNITED STATES

 

39,300

 

 

 

778,140

 

 

 

DYNAMIC MATERIALS CORP

 

COMMON STOCK USD.05

 

UNITED STATES

 

14,650

 

 

 

203,635

 

 

 

DYNAVAX TECHNOLOGIES CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

177,700

 

 

 

508,222

 

 

 

DYNEX CAPITAL INC

 

REIT USD.01

 

UNITED STATES

 

57,600

 

 

 

543,744

 

 

 

EAGLE BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,400

 

 

 

327,508

 

 

 

EAGLE MATERIALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

48,748

 

 

 

2,851,758

 

 

 

EARTHLINK INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

118,822

 

 

 

767,590

 

 

 

EAST WEST BANCORP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

148,600

 

 

 

3,193,414

 

 

 

EASTERN CO/THE

 

COMMON STOCK NPV

 

UNITED STATES

 

7,400

 

 

 

117,068

 

 

 

EASTGROUP PROPERTIES INC

 

REIT NPV

 

UNITED STATES

 

28,000

 

 

 

1,506,680

 

 

 

EATON VANCE CORP

 

COMMON STOCK USD.90625

 

UNITED STATES

 

116,129

 

 

 

3,698,709

 

 

 

EBIX INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

29,031

 

 

 

466,528

 

 

 

ECHELON CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,500

 

 

 

89,425

 

 

 

ECHO GLOBAL LOGISTICS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

6,100

 

 

 

109,617

 

 

 

ECHOSTAR CORP A

 

COMMON STOCK USD.001

 

UNITED STATES

 

39,525

 

 

 

1,352,546

 

 

 

EDUCATION MANAGEMENT CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,000

 

 

 

166,440

 

 

 

EDUCATION REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

99,800

 

 

 

1,061,872

 

 

 

EHEALTH INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

24,391

 

 

 

670,265

 

 

 

EINSTEIN NOAH RESTAURANT GRO

 

COMMON STOCK USD.001

 

UNITED STATES

 

11,600

 

 

 

141,636

 

 

 

EL PASO ELECTRIC CO

 

COMMON STOCK NPV

 

UNITED STATES

 

43,420

 

 

 

1,385,532

 

 

 

ELECTRO RENT CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

17,843

 

 

 

274,425

 

 

 

ELECTRO SCIENTIFIC INDS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

23,147

 

 

 

230,313

 

 

 

ELECTRONICS FOR IMAGING

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,700

 

 

 

1,000,773

 

 

 

ELIZABETH ARDEN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,878

 

 

 

1,074,749

 

 

 

ELLIE MAE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

17,800

 

 

 

493,950

 

 

 

EMC INS GROUP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

7,200

 

 

 

171,936

 

 

 

EMCOR GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

68,412

 

 

 

2,367,739

 

 

 

EMERALD OIL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

2,785

 

 

 

14,593

 

 

 

EMERGENT BIOSOLUTIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

23,900

 

 

 

383,356

 

 

 

EMERITUS CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

30,000

 

 

 

741,600

 

 

 

EMPIRE DISTRICT ELECTRIC CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

42,470

 

 

 

865,539

 

 

 

EMPLOYERS HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,704

 

 

 

775,948

 

 

 

EMULEX CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

96,200

 

 

 

702,260

 

 

 

ENCORE CAPITAL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,762

 

 

 

513,252

 

 

 

ENCORE WIRE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,300

 

 

 

615,293

 

 

 

ENDEAVOUR INTERNATIONAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

39,300

 

 

 

203,574

 

 

 

ENDO HEALTH SOLUTIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

112,613

 

 

 

2,958,344

 

 

 

ENDOCYTE INC

 

COMMON STOCK

 

UNITED STATES

 

8,900

 

 

 

79,922

 

 

 

ENDOLOGIX INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

51,000

 

 

 

726,240

 

 

 

ENERGEN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

70,900

 

 

 

3,196,881

 

 

 

ENERGIZER HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,081

 

 

 

5,045,218

 

 

 

ENERGY RECOVERY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

41,000

 

 

 

139,400

 

 

 

ENERGYSOLUTIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

78,000

 

 

 

243,360

 

 

 

ENERNOC INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,200

 

 

 

166,850

 

 

 

ENERSYS

 

COMMON STOCK USD.01

 

UNITED STATES

 

48,900

 

 

 

1,840,107

 

 

 

ENGILITY HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,900

 

 

 

306,234

 

 

 

ENNIS INC

 

COMMON STOCK USD2.5

 

UNITED STATES

 

26,765

 

 

 

414,055

 

 

 

ENPRO INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,900

 

 

 

773,010

 

 

 

ENSIGN GROUP INC/THE

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,032

 

 

 

435,910

 

 

 

ENTEGRIS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

146,087

 

 

 

1,341,079

 

 

 

ENTERCOM COMMUNICATIONS CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,000

 

 

 

125,640

 

 

 

ENTERPRISE FINANCIAL SERVICE

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,158

 

 

 

119,695

 

 

 

ENTRAVISION COMMUNICATIONS A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

50,800

 

 

 

84,328

 

 

 

ENTROPIC COMMUNICATIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

70,500

 

 

 

372,945

 

 

 

ENVESTNET INC

 

COMMON STOCK

 

UNITED STATES

 

12,100

 

 

 

168,795

 

 

 

ENZON PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,620

 

 

 

202,097

 

 

 

EPIQ SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,299

 

 

 

451,121

 

 

 

EPL OIL + GAS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

23,900

 

 

 

538,945

 

 

 

EPLUS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

4,100

 

 

 

169,494

 

 

 

EPOCH HOLDING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,300

 

 

 

454,770

 

 

 

EPR PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

47,300

 

 

 

2,181,003

 

 

 

EQUINIX INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

46,605

 

 

 

9,609,951

 

 

 

EQUITY LIFESTYLE PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

39,900

 

 

 

2,684,871

 

 

 

EQUITY ONE INC

 

REIT USD.01

 

UNITED STATES

 

56,100

 

 

 

1,178,661

 

 

 

ERIE INDEMNITY COMPANY CL A

 

COMMON STOCK NPV

 

UNITED STATES

 

26,398

 

 

 

1,827,270

 

 

 

ESB FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,400

 

 

 

158,118

 

 

 

ESCO TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,200

 

 

 

1,129,782

 

 

 

ESSA BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,800

 

 

 

204,732

 

 

 

ESSEX PROPERTY TRUST INC

 

REIT USD.0001

 

UNITED STATES

 

35,228

 

 

 

5,166,186

 

 

 

ESTERLINE TECHNOLOGIES CORP

 

COMMON STOCK USD.2

 

UNITED STATES

 

30,840

 

 

 

1,961,732

 

 

 

ETHAN ALLEN INTERIORS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,200

 

 

 

699,312

 

 

 

EURONET WORLDWIDE INC

 

COMMON STOCK USD.02

 

UNITED STATES

 

53,700

 

 

 

1,267,320

 

 

 

EVERBANK FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,800

 

 

 

399,588

 

 

 

EVERCORE PARTNERS INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,500

 

 

 

800,035

 

 

 

EVOLUTION PETROLEUM CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

12,900

 

 

 

104,877

 

 

 

EW SCRIPPS CO/THE A

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,999

 

 

 

270,239

 

 

 

EXACT SCIENCES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,300

 

 

 

543,267

 

 

 

EXACTECH INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,500

 

 

 

144,075

 

 

 

EXAMWORKS GROUP INC

 

COMMON STOCK

 

UNITED STATES

 

24,500

 

 

 

342,755

 

 

 

EXAR CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

37,701

 

 

 

335,539

 

 

 

EXCEL TRUST INC

 

REIT USD.01

 

UNITED STATES

 

34,360

 

 

 

435,341

 

 

 

EXCO RESOURCES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

112,884

 

 

 

764,225

 

 

 

EXELIS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

180,500

 

 

 

2,034,235

 

 

 

EXELIXIS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

130,400

 

 

 

595,928

 

 

86



Table of Contents

 

 

 

EXIDE TECHNOLOGIES

 

COMMON STOCK USD.01

 

UNITED STATES

 

79,711

 

 

 

272,612

 

 

 

EXLSERVICE HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,986

 

 

 

529,629

 

 

 

EXPONENT INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

15,100

 

 

 

843,033

 

 

 

EXPRESS INC

 

COMMON STOCK

 

UNITED STATES

 

84,300

 

 

 

1,272,087

 

 

 

EXTERRAN HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,436

 

 

 

1,390,517

 

 

 

EXTRA SPACE STORAGE INC

 

REIT USD.01

 

UNITED STATES

 

103,791

 

 

 

3,776,954

 

 

 

EXTREME NETWORKS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

106,000

 

 

 

385,840

 

 

 

EZCORP INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

48,700

 

 

 

967,182

 

 

 

FACEBOOK INC A

 

COMMON STOCK USD.000006

 

UNITED STATES

 

415,400

 

 

 

11,062,102

 

 

 

FACTSET RESEARCH SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,270

 

 

 

3,810,356

 

 

 

FAIR ISAAC CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,604

 

 

 

1,496,436

 

 

 

FAIRCHILD SEMICONDUCTOR INTE

 

COMMON STOCK USD.01

 

UNITED STATES

 

130,720

 

 

 

1,882,368

 

 

 

FALCONSTOR SOFTWARE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

40,600

 

 

 

94,598

 

 

 

FARMER BROS CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

8,300

 

 

 

119,769

 

 

 

FARO TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

18,900

 

 

 

674,352

 

 

 

FBL FINANCIAL GROUP INC CL A

 

COMMON STOCK NPV

 

UNITED STATES

 

12,077

 

 

 

413,154

 

 

 

FBR + CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

30,500

 

 

 

118,035

 

 

 

FEDERAL AGRIC MTG CORP CL C

 

COMMON STOCK USD1.

 

UNITED STATES

 

10,000

 

 

 

325,000

 

 

 

FEDERAL MOGUL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,600

 

 

 

213,332

 

 

 

FEDERAL REALTY INVS TRUST

 

REIT USD.01

 

UNITED STATES

 

62,980

 

 

 

6,551,180

 

 

 

FEDERAL SIGNAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

66,550

 

 

 

506,446

 

 

 

FEI COMPANY

 

COMMON STOCK NPV

 

UNITED STATES

 

39,900

 

 

 

2,212,854

 

 

 

FELCOR LODGING TRUST INC

 

REIT USD.01

 

UNITED STATES

 

120,085

 

 

 

560,797

 

 

 

FEMALE HEALTH COMPANY

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,100

 

 

 

122,778

 

 

 

FERRO CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

96,150

 

 

 

401,907

 

 

 

FIDELITY NATIONAL FINL A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

224,057

 

 

 

5,276,542

 

 

 

FIESTA RESTAURANT GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,200

 

 

 

125,624

 

 

 

FIFTH + PACIFIC COS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

97,171

 

 

 

1,209,779

 

 

 

FIFTH STREET FINANCE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

87,707

 

 

 

913,907

 

*

 

FINANCIAL ENGINES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

37,400

 

 

 

1,037,850

 

 

 

FINANCIAL INSTITUTIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,200

 

 

 

283,176

 

 

 

FINISAR CORPORATION

 

COMMON STOCK USD.001

 

UNITED STATES

 

87,500

 

 

 

1,426,250

 

 

 

FINISH LINE/THE CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

56,000

 

 

 

1,060,080

 

 

 

FIRST AMERICAN FINANCIAL

 

COMMON STOCK USD.00001

 

UNITED STATES

 

107,343

 

 

 

2,585,893

 

 

 

FIRST BANCORP INC/ME

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,600

 

 

 

158,112

 

 

 

FIRST BANCORP/NC

 

COMMON STOCK NPV

 

UNITED STATES

 

14,350

 

 

 

183,967

 

 

 

FIRST BUSEY CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

75,160

 

 

 

349,494

 

 

 

FIRST CALIFORNIA FINANCIAL G

 

COMMON STOCK USD.01

 

UNITED STATES

 

3,700

 

 

 

28,564

 

 

 

FIRST CASH FINL SVCS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,689

 

 

 

1,473,168

 

 

 

FIRST CITIZENS BCSHS CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

5,800

 

 

 

948,300

 

 

 

FIRST COMMONWEALTH FINL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

115,161

 

 

 

785,398

 

 

 

FIRST COMMUNITY BANCSHARES

 

COMMON STOCK USD1.

 

UNITED STATES

 

15,690

 

 

 

250,569

 

 

 

FIRST CONNECTICUT BANCORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,500

 

 

 

240,625

 

 

 

FIRST DEFIANCE FINL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

3,600

 

 

 

69,084

 

 

 

FIRST FINANCIAL BANCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

59,304

 

 

 

867,024

 

 

 

FIRST FINANCIAL CORP/INDIANA

 

COMMON STOCK NPV

 

UNITED STATES

 

14,014

 

 

 

423,783

 

 

 

FIRST FINANCIAL HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,000

 

 

 

196,200

 

 

 

FIRST FINL BANKSHARES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,774

 

 

 

1,317,524

 

 

 

FIRST INDUSTRIAL REALTY TR

 

REIT USD.01

 

UNITED STATES

 

90,900

 

 

 

1,279,872

 

 

 

FIRST INTERSTATE BANCSYS/MT

 

COMMON STOCK NPV

 

UNITED STATES

 

8,800

 

 

 

135,784

 

 

 

FIRST MARBLEHEAD CORP/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,050

 

 

 

44,322

 

 

 

FIRST MERCHANTS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

32,566

 

 

 

483,279

 

 

 

FIRST MIDWEST BANCORP INC/IL

 

COMMON STOCK USD.01

 

UNITED STATES

 

74,138

 

 

 

928,208

 

 

 

FIRST NIAGARA FINANCIAL GRP

 

COMMON STOCK USD.01

 

UNITED STATES

 

356,365

 

 

 

2,825,974

 

 

 

FIRST OF LONG ISLAND CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

7,800

 

 

 

220,896

 

 

 

FIRST POTOMAC REALTY TRUST

 

REIT USD.001

 

UNITED STATES

 

54,190

 

 

 

669,788

 

 

 

FIRST REPUBLIC BANK/CA

 

COMMON STOCK USD.01

 

UNITED STATES

 

97,900

 

 

 

3,209,162

 

 

 

FIRSTMERIT CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

111,655

 

 

 

1,584,384

 

 

 

FISHER COMMUNICATIONS INC

 

COMMON STOCK USD1.25

 

UNITED STATES

 

8,800

 

 

 

237,512

 

 

 

FIVE BELOW

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,800

 

 

 

346,032

 

 

 

FIVE STAR QUALITY CARE

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,400

 

 

 

197,394

 

 

 

FLEETCOR TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

46,100

 

 

 

2,473,265

 

 

 

FLEXSTEEL INDS

 

COMMON STOCK USD1.

 

UNITED STATES

 

800

 

 

 

17,160

 

 

 

FLOTEK INDUSTRIES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

43,700

 

 

 

533,140

 

 

 

FLOW INTL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,300

 

 

 

158,550

 

 

 

FLOWERS FOODS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

116,375

 

 

 

2,708,046

 

 

 

FLUIDIGM CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

23,900

 

 

 

342,009

 

 

 

FLUSHING FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,041

 

 

 

476,169

 

 

 

FNB CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

141,702

 

 

 

1,504,875

 

 

 

FOOT LOCKER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

150,400

 

 

 

4,830,848

 

 

 

FOREST CITY ENTERPRISES CL A

 

COMMON STOCK USD.333

 

UNITED STATES

 

139,781

 

 

 

2,257,463

 

 

 

FOREST LABORATORIES INC CVR

 

COMMON STOCK

 

UNITED STATES

 

11,600

 

 

 

0

 

 

 

FOREST OIL CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

116,516

 

 

 

779,492

 

 

 

FORESTAR GROUP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

39,233

 

 

 

679,908

 

 

 

FORMFACTOR INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

51,797

 

 

 

236,194

 

 

 

FORRESTER RESEARCH INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,200

 

 

 

460,960

 

 

 

FORTINET INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

123,200

 

 

 

2,595,824

 

 

 

FORTUNE BRANDS HOME + SECURI

 

COMMON STOCK USD.01

 

UNITED STATES

 

156,000

 

 

 

4,558,320

 

 

 

FORUM ENERGY TECHNOLOGIES IN

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,000

 

 

 

470,250

 

 

 

FORWARD AIR CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,240

 

 

 

1,128,722

 

 

 

FOSTER (LB) CO A

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,086

 

 

 

525,016

 

 

 

FOX CHASE BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

3,890

 

 

 

64,769

 

 

 

FRANCESCAS HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,900

 

 

 

828,124

 

 

 

FRANKLIN COVEY CO

 

COMMON STOCK USD.05

 

UNITED STATES

 

13,800

 

 

 

178,020

 

 

 

FRANKLIN ELECTRIC CO INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

24,500

 

 

 

1,523,165

 

 

 

FRANKLIN FINANCIAL CORP/VA

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,600

 

 

 

109,428

 

 

 

FRANKLIN STREET PROPERTIES C

 

REIT USD.0001

 

UNITED STATES

 

72,100

 

 

 

887,551

 

 

 

FRED S INC CLASS A

 

COMMON STOCK NPV

 

UNITED STATES

 

45,615

 

 

 

607,136

 

 

 

FREESCALE SEMICONDUCTOR LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,400

 

 

 

433,794

 

 

 

FREIGHTCAR AMERICA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

13,650

 

 

 

306,033

 

 

 

FRESH DEL MONTE PRODUCE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,100

 

 

 

1,082,985

 

 

 

FRESH MARKET INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,900

 

 

 

1,245,531

 

 

 

FRISCH S RESTAURANTS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

800

 

 

 

14,800

 

 

 

FTI CONSULTING INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,200

 

 

 

1,458,600

 

 

 

FUEL SYSTEMS SOLUTIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,300

 

 

 

239,610

 

 

 

FUELCELL ENERGY INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

156,296

 

 

 

143,323

 

 

 

FULTON FINANCIAL CORP

 

COMMON STOCK USD2.5

 

UNITED STATES

 

211,261

 

 

 

2,030,218

 

 

 

FURIEX PHARMACEUTICALS

 

COMMON STOCK USD.001

 

UNITED STATES

 

9,489

 

 

 

182,758

 

 

 

FURMANITE CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

34,800

 

 

 

186,876

 

 

 

FUSION IO INC

 

COMMON STOCK USD.0002

 

UNITED STATES

 

63,000

 

 

 

1,444,590

 

 

 

FUTUREFUEL CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

13,700

 

 

 

162,208

 

 

 

FX ENERGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

53,000

 

 

 

217,830

 

 

 

FXCM INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,100

 

 

 

232,617

 

 

 

G + K SERVICES INC CL A

 

COMMON STOCK USD.5

 

UNITED STATES

 

18,700

 

 

 

638,605

 

 

 

G III APPAREL GROUP LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,935

 

 

 

648,145

 

 

 

GAMCO INVESTORS INC A

 

COMMON STOCK USD.001

 

UNITED STATES

 

8,590

 

 

 

455,871

 

 

 

GARDNER DENVER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,543

 

 

 

3,393,696

 

 

 

GARTNER INC

 

COMMON STOCK USD.0005

 

UNITED STATES

 

93,100

 

 

 

4,284,462

 

 

 

GASTAR EXPLORATION LTD

 

COMMON STOCK NPV

 

UNITED STATES

 

48,000

 

 

 

58,080

 

 

 

GATX CORP

 

COMMON STOCK USD.625

 

UNITED STATES

 

47,600

 

 

 

2,061,080

 

 

 

GENCO SHIPPING + TRADING LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,900

 

 

 

100,861

 

 

 

GENCORP INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

58,600

 

 

 

536,190

 

 

87



Table of Contents

 

 

 

GENERAC HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,600

 

 

 

706,786

 

 

 

GENERAL CABLE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

55,150

 

 

 

1,677,112

 

 

 

GENERAL COMMUNICATION INC A

 

COMMON STOCK NPV

 

UNITED STATES

 

50,095

 

 

 

480,411

 

 

 

GENERAL GROWTH PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

512,700

 

 

 

10,177,095

 

 

 

GENERAL MOLY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

50,500

 

 

 

202,505

 

 

 

GENERAL MOTORS CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

749,300

 

 

 

21,602,319

 

 

 

GENESCO INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

24,200

 

 

 

1,331,000

 

 

 

GENESEE + WYOMING INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,050

 

 

 

3,123,084

 

 

 

GENIE ENERGY LTD B

 

COMMON STOCK

 

UNITED STATES

 

17,100

 

 

 

121,410

 

 

 

GENOMIC HEALTH INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

17,068

 

 

 

465,274

 

 

 

GENPACT LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

128,987

 

 

 

1,999,299

 

 

 

GENTEX CORP

 

COMMON STOCK USD.06

 

UNITED STATES

 

140,532

 

 

 

2,644,812

 

 

 

GENTHERM INC

 

COMMON STOCK NPV

 

UNITED STATES

 

28,924

 

 

 

384,689

 

 

 

GENTIVA HEALTH SERVICES

 

COMMON STOCK USD.1

 

UNITED STATES

 

34,371

 

 

 

345,429

 

 

 

GEO GROUP INC/THE

 

REIT USD.01

 

UNITED STATES

 

62,750

 

 

 

1,769,550

 

 

 

GEOEYE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,800

 

 

 

454,804

 

 

 

GEOSPACE TECHNOLOGIES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,600

 

 

 

853,152

 

 

 

GERMAN AMERICAN BANCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

13,100

 

 

 

284,532

 

 

 

GERON CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

122,936

 

 

 

173,340

 

 

 

GETTY REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

27,300

 

 

 

493,038

 

 

 

GFI GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

64,800

 

 

 

209,952

 

 

 

GIBRALTAR INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,000

 

 

 

557,200

 

 

 

GLACIER BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

74,919

 

 

 

1,102,058

 

 

 

GLADSTONE CAPITAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

23,200

 

 

 

189,312

 

 

 

GLADSTONE COMMERCIAL CORP

 

REIT USD.001

 

UNITED STATES

 

8,800

 

 

 

157,960

 

 

 

GLADSTONE INVESTMENT CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,100

 

 

 

112,056

 

 

 

GLATFELTER

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,750

 

 

 

869,630

 

 

 

GLIMCHER REALTY TRUST

 

REIT USD.01

 

UNITED STATES

 

139,763

 

 

 

1,549,972

 

 

 

GLOBAL CASH ACCESS HOLDINGS

 

COMMON STOCK USD.001

 

UNITED STATES

 

67,400

 

 

 

528,416

 

 

 

GLOBAL GEOPHYSICAL SERVICES

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,100

 

 

 

77,385

 

 

 

GLOBAL PAYMENTS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

75,424

 

 

 

3,416,707

 

 

 

GLOBAL POWER EQUIPMENT GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

13,900

 

 

 

238,385

 

 

 

GLOBE SPECIALTY METALS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

54,300

 

 

 

746,625

 

 

 

GLOBECOMM SYSTEMS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

21,943

 

 

 

247,956

 

 

 

GLU MOBILE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

71,100

 

 

 

162,819

 

 

 

GNC HOLDINGS INC CL A

 

COMMON STOCK USD.001

 

UNITED STATES

 

70,700

 

 

 

2,352,896

 

 

 

GOLD RESERVE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

41,200

 

 

 

136,372

 

 

 

GOLD RESOURCE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,400

 

 

 

422,234

 

 

 

GOLDEN MINERALS CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,027

 

 

 

73,564

 

 

 

GOLDEN STAR RESOURCES LTD

 

COMMON STOCK NPV

 

UNITED STATES

 

278,100

 

 

 

511,704

 

 

 

GOLUB CAPITAL BDC INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

9,473

 

 

 

151,379

 

 

 

GOODRICH PETROLEUM CORP

 

COMMON STOCK USD.2

 

UNITED STATES

 

30,915

 

 

 

288,128

 

 

 

GORMAN RUPP CO

 

COMMON STOCK NPV

 

UNITED STATES

 

17,287

 

 

 

515,671

 

 

 

GOVERNMENT PROPERTIES INCOME

 

REIT USD.01

 

UNITED STATES

 

36,440

 

 

 

873,467

 

 

 

GP STRATEGIES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,300

 

 

 

377,895

 

 

 

GRACO INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

57,612

 

 

 

2,966,442

 

 

 

GRAFTECH INTERNATIONAL LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

129,060

 

 

 

1,211,873

 

 

 

GRAHAM CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

9,800

 

 

 

191,100

 

 

 

GRAND CANYON EDUCATION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,600

 

 

 

647,772

 

 

 

GRANITE CONSTRUCTION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,000

 

 

 

1,277,560

 

 

 

GRAPHIC PACKAGING HOLDING CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

143,900

 

 

 

929,594

 

 

 

GREAT LAKES DREDGE + DOCK CO

 

COMMON STOCK USD.0001

 

UNITED STATES

 

43,200

 

 

 

385,776

 

 

 

GREAT PLAINS ENERGY INC

 

COMMON STOCK NPV

 

UNITED STATES

 

133,929

 

 

 

2,720,098

 

 

 

GREAT SOUTHERN BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,338

 

 

 

314,002

 

 

 

GREATBATCH INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

25,831

 

 

 

600,312

 

 

 

GREEN DOT CORP CLASS A

 

COMMON STOCK USD.001

 

UNITED STATES

 

20,100

 

 

 

245,220

 

 

 

GREEN MOUNTAIN COFFEE ROASTE

 

COMMON STOCK USD.1

 

UNITED STATES

 

136,847

 

 

 

5,659,992

 

 

 

GREEN PLAINS RENEWABLE ENERG

 

COMMON STOCK USD.001

 

UNITED STATES

 

20,400

 

 

 

161,364

 

 

 

GREENBRIER COMPANIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

19,597

 

 

 

316,883

 

 

 

GREENHILL + CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,800

 

 

 

1,601,292

 

 

 

GREIF INC CL A

 

COMMON STOCK NPV

 

UNITED STATES

 

30,906

 

 

 

1,375,317

 

 

 

GRIFFIN LAND + NURSERIES

 

COMMON STOCK USD.01

 

UNITED STATES

 

2,364

 

 

 

63,828

 

 

 

GRIFFON CORP

 

COMMON STOCK USD.25

 

UNITED STATES

 

54,861

 

 

 

628,707

 

 

 

GROUP 1 AUTOMOTIVE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,500

 

 

 

1,456,765

 

 

 

GROUPON INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

43,500

 

 

 

212,280

 

 

 

GSI GROUP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

22,100

 

 

 

191,386

 

 

 

GSI TECHNOLOGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,900

 

 

 

124,773

 

 

 

GT ADVANCED TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

117,500

 

 

 

354,850

 

 

 

GTX INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

21,900

 

 

 

91,980

 

 

 

GUESS? INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,577

 

 

 

1,560,180

 

 

 

GUIDANCE SOFTWARE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

6,300

 

 

 

74,781

 

 

 

GUIDEWIRE SOFTWARE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

19,000

 

 

 

564,680

 

 

 

GULF ISLAND FABRICATION INC

 

COMMON STOCK NPV

 

UNITED STATES

 

13,900

 

 

 

334,017

 

 

 

GULFMARK OFFSHORE INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,596

 

 

 

916,232

 

 

 

GULFPORT ENERGY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,919

 

 

 

1,984,344

 

 

 

GYRODYNE CO OF AMERICA INC

 

REIT USD1.

 

UNITED STATES

 

1,400

 

 

 

100,884

 

 

 

H.B. FULLER CO.

 

COMMON STOCK USD1.

 

UNITED STATES

 

53,800

 

 

 

1,873,316

 

 

 

H+E EQUIPMENT SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,500

 

 

 

444,565

 

 

 

HACKETT GROUP INC/THE

 

COMMON STOCK USD.001

 

UNITED STATES

 

31,674

 

 

 

135,565

 

 

 

HAEMONETICS CORP/MASS

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,812

 

 

 

2,156,842

 

 

 

HAIN CELESTIAL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,147

 

 

 

1,959,890

 

 

 

HALCON RESOURCES CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

101,341

 

 

 

701,280

 

 

 

HALLMARK FINL SERVICES INC

 

COMMON STOCK USD.18

 

UNITED STATES

 

3,500

 

 

 

32,865

 

 

 

HALOZYME THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

81,000

 

 

 

543,510

 

 

 

HANCOCK HOLDING CO

 

COMMON STOCK USD3.33

 

UNITED STATES

 

78,662

 

 

 

2,496,732

 

 

 

HANESBRANDS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

99,793

 

 

 

3,574,585

 

 

 

HANGER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,600

 

 

 

919,296

 

 

 

HANMI FINANCIAL CORPORATION

 

COMMON STOCK USD.001

 

UNITED STATES

 

42,549

 

 

 

578,241

 

 

 

HANOVER INSURANCE GROUP INC/

 

COMMON STOCK USD.01

 

UNITED STATES

 

46,000

 

 

 

1,782,040

 

 

 

HANSEN MEDICAL INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

26,700

 

 

 

55,536

 

 

 

HARBINGER GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,870

 

 

 

160,490

 

 

 

HARMONIC INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

113,314

 

 

 

574,502

 

 

 

HARRIS + HARRIS GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,900

 

 

 

144,870

 

 

 

HARRIS TEETER SUPERMARKETS I

 

COMMON STOCK NPV

 

UNITED STATES

 

41,400

 

 

 

1,596,384

 

 

 

HARSCO CORP

 

COMMON STOCK USD1.25

 

UNITED STATES

 

80,850

 

 

 

1,899,975

 

 

 

HARTE HANKS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

43,050

 

 

 

253,995

 

 

 

HARVARD BIOSCIENCE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,200

 

 

 

70,956

 

 

 

HARVEST NATURAL RESOURCES IN

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,100

 

 

 

345,567

 

 

 

HATTERAS FINANCIAL CORP

 

REIT USD.001

 

UNITED STATES

 

95,800

 

 

 

2,376,798

 

 

 

HAVERTY FURNITURE

 

COMMON STOCK USD1.

 

UNITED STATES

 

20,400

 

 

 

332,724

 

 

 

HAWAIIAN ELECTRIC INDS

 

COMMON STOCK NPV

 

UNITED STATES

 

98,800

 

 

 

2,483,832

 

 

 

HAWAIIAN HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

54,800

 

 

 

360,036

 

 

 

HAWKINS INC

 

COMMON STOCK USD.05

 

UNITED STATES

 

8,600

 

 

 

332,304

 

 

 

HAYNES INTERNATIONAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

12,200

 

 

 

632,814

 

 

 

HCA HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

159,100

 

 

 

4,800,047

 

 

 

HCC INSURANCE HOLDINGS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

101,724

 

 

 

3,785,150

 

 

 

HEADWATERS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

65,000

 

 

 

556,400

 

 

 

HEALTH MGMT ASSOCIATES INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

271,037

 

 

 

2,526,065

 

 

 

HEALTH NET INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

86,458

 

 

 

2,100,929

 

 

 

HEALTHCARE REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

80,200

 

 

 

1,925,602

 

 

 

HEALTHCARE SERVICES GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

66,208

 

 

 

1,538,012

 

 

 

HEALTHSOUTH CORP W/D

 

COMMON STOCK USD.01

 

UNITED STATES

 

99,700

 

 

 

2,104,667

 

 

88



Table of Contents

 

 

 

HEALTHSTREAM INC

 

COMMON STOCK NPV

 

UNITED STATES

 

16,800

 

 

 

408,408

 

 

 

HEALTHWAYS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,100

 

 

 

386,270

 

 

 

HEARTLAND EXPRESS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,310

 

 

 

749,042

 

 

 

HEARTLAND FINANCIAL USA INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

14,006

 

 

 

366,257

 

 

 

HEARTLAND PAYMENT SYSTEMS IN

 

COMMON STOCK USD.001

 

UNITED STATES

 

42,100

 

 

 

1,241,950

 

 

 

HEARTWARE INTERNATIONAL INC

 

COMMON STOCK

 

UNITED STATES

 

12,400

 

 

 

1,040,980

 

 

 

HECKMANN CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

108,900

 

 

 

438,867

 

 

 

HECLA MINING CO

 

COMMON STOCK USD.25

 

UNITED STATES

 

289,635

 

 

 

1,688,572

 

 

 

HEICO CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,593

 

 

 

2,354,063

 

 

 

HEIDRICK + STRUGGLES INTL

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,300

 

 

 

279,258

 

 

 

HELIX ENERGY SOLUTIONS GROUP

 

COMMON STOCK NPV

 

UNITED STATES

 

106,594

 

 

 

2,200,100

 

 

 

HENRY SCHEIN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

87,941

 

 

 

7,075,733

 

 

 

HERCULES OFFSHORE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

129,136

 

 

 

798,060

 

 

 

HERCULES TECHNOLOGY GROWTH

 

COMMON STOCK USD.001

 

UNITED STATES

 

57,338

 

 

 

638,172

 

 

 

HERITAGE COMMERCE CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

15,600

 

 

 

108,888

 

 

 

HERITAGE FINANCIAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

11,419

 

 

 

167,745

 

 

 

HERMAN MILLER INC

 

COMMON STOCK USD.2

 

UNITED STATES

 

57,005

 

 

 

1,221,047

 

 

 

HERSHA HOSPITALITY TRUST

 

REIT USD.01

 

UNITED STATES

 

136,705

 

 

 

683,525

 

 

 

HERTZ GLOBAL HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

248,300

 

 

 

4,039,841

 

 

 

HEXCEL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

100,900

 

 

 

2,720,264

 

 

 

HFF INC CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,400

 

 

 

467,860

 

 

 

HHGREGG INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

17,000

 

 

 

119,340

 

 

 

HI TECH PHARMACAL CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,400

 

 

 

363,792

 

 

 

HIBBETT SPORTS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,275

 

 

 

1,437,393

 

 

 

HICKORYTECH CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

4,366

 

 

 

42,481

 

 

 

HIGHER ONE HOLDINGS INC

 

COMMON STOCK

 

UNITED STATES

 

27,500

 

 

 

289,850

 

 

 

HIGHWOODS PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

76,600

 

 

 

2,562,270

 

 

 

HILL INTERNATIONAL INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

23,100

 

 

 

84,546

 

 

 

HILL ROM HOLDINGS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

63,100

 

 

 

1,798,350

 

 

 

HILLENBRAND INC

 

COMMON STOCK NPV

 

UNITED STATES

 

50,776

 

 

 

1,148,045

 

 

 

HILLSHIRE BRANDS CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

116,600

 

 

 

3,281,124

 

 

 

HILLTOP HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

46,499

 

 

 

629,596

 

 

 

HINGHAM INSTITUTION FOR SVGS

 

COMMON STOCK USD1.

 

UNITED STATES

 

300

 

 

 

18,780

 

 

 

HITTITE MICROWAVE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,073

 

 

 

1,991,733

 

 

 

HMS HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

86,000

 

 

 

2,229,120

 

 

 

HNI CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

45,100

 

 

 

1,355,706

 

 

 

HOLLYFRONTIER CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

205,106

 

 

 

9,547,684

 

 

 

HOLOGIC INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

258,935

 

 

 

5,186,468

 

 

 

HOME BANCSHARES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,685

 

 

 

749,059

 

 

 

HOME FEDERAL BANCORP INC/ID

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,200

 

 

 

213,796

 

 

 

HOME PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

48,816

 

 

 

2,992,909

 

 

 

HOMEAWAY INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

28,900

 

 

 

635,800

 

 

 

HOMESTREET INC

 

COMMON STOCK

 

UNITED STATES

 

4,332

 

 

 

110,683

 

 

 

HORACE MANN EDUCATORS

 

COMMON STOCK USD.001

 

UNITED STATES

 

46,600

 

 

 

930,136

 

 

 

HORNBECK OFFSHORE SERVICES

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,300

 

 

 

1,143,522

 

 

 

HORSEHEAD HOLDING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,800

 

 

 

488,038

 

 

 

HOSPITALITY PROPERTIES TRUST

 

REIT USD.01

 

UNITED STATES

 

127,500

 

 

 

2,986,050

 

 

 

HOT TOPIC INC

 

COMMON STOCK NPV

 

UNITED STATES

 

47,775

 

 

 

461,029

 

 

 

HOUSTON WIRE + CABLE CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,243

 

 

 

199,302

 

 

 

HOVNANIAN ENTERPRISES A

 

COMMON STOCK USD.01

 

UNITED STATES

 

75,700

 

 

 

529,900

 

 

 

HOWARD HUGHES CORP/THE

 

COMMON STOCK

 

UNITED STATES

 

23,304

 

 

 

1,701,658

 

 

 

HSN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,000

 

 

 

2,148,120

 

 

 

HUB GROUP INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,180

 

 

 

1,249,248

 

 

 

HUBBELL INC CL B

 

COMMON STOCK USD.01

 

UNITED STATES

 

58,622

 

 

 

4,961,180

 

 

 

HUDSON GLOBAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

23,900

 

 

 

107,072

 

 

 

HUDSON PACIFIC PROPERTIES IN

 

REIT USD.01

 

UNITED STATES

 

23,300

 

 

 

490,698

 

 

 

HUDSON VALLEY HOLDING CORP

 

COMMON STOCK USD.2

 

UNITED STATES

 

15,854

 

 

 

246,847

 

 

 

HUNT (JB) TRANSPRT SVCS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

87,718

 

 

 

5,237,642

 

 

 

HUNTINGTON INGALLS INDUSTRIE

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,544

 

 

 

2,233,917

 

 

 

HUNTSMAN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

195,833

 

 

 

3,113,745

 

 

 

HURCO COMPANIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

5,100

 

 

 

117,300

 

 

 

HURON CONSULTING GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,600

 

 

 

727,704

 

 

 

HYATT HOTELS CORP CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,500

 

 

 

1,562,085

 

 

 

HYSTER YALE MATERIALS

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,940

 

 

 

582,672

 

 

 

IAC/INTERACTIVECORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

75,600

 

 

 

3,575,880

 

 

 

IBERIABANK CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

29,775

 

 

 

1,462,548

 

 

 

ICF INTERNATIONAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,400

 

 

 

337,536

 

 

 

ICG GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

41,600

 

 

 

475,488

 

 

 

ICONIX BRAND GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

75,700

 

 

 

1,689,624

 

 

 

ICU MEDICAL INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

13,809

 

 

 

841,382

 

 

 

IDACORP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

50,781

 

 

 

2,201,356

 

 

 

IDENIX PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

55,736

 

 

 

270,320

 

 

 

IDEX CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

84,887

 

 

 

3,949,792

 

 

 

IDEXX LABORATORIES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

54,533

 

 

 

5,060,662

 

 

 

IDT CORP CLASS B

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,100

 

 

 

163,134

 

 

 

IGATE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,900

 

 

 

534,603

 

 

 

IHS INC CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,775

 

 

 

4,778,400

 

 

 

II VI INC

 

COMMON STOCK NPV

 

UNITED STATES

 

53,600

 

 

 

979,272

 

 

 

ILLUMINA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

119,198

 

 

 

6,626,217

 

 

 

IMATION CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,610

 

 

 

166,299

 

 

 

IMMERSION CORPORATION

 

COMMON STOCK USD.001

 

UNITED STATES

 

41,900

 

 

 

287,853

 

 

 

IMMUNOGEN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

76,204

 

 

 

971,601

 

 

 

IMMUNOMEDICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

92,300

 

 

 

269,516

 

 

 

IMPAX LABORATORIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

67,800

 

 

 

1,389,222

 

 

 

IMPERVA INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

8,400

 

 

 

264,852

 

 

 

INCONTACT INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

8,400

 

 

 

43,512

 

 

 

INCYTE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

99,339

 

 

 

1,650,021

 

 

 

INDEPENDENCE HOLDING CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

5,870

 

 

 

55,882

 

 

 

INDEPENDENT BANK CORP/MA

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,400

 

 

 

619,530

 

 

 

INFINERA CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

100,500

 

 

 

583,905

 

 

 

INFINITY PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,364

 

 

 

677,740

 

 

 

INFINITY PROPERTY + CASUALTY

 

COMMON STOCK NPV

 

UNITED STATES

 

14,580

 

 

 

849,139

 

 

 

INFORMATICA CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

109,800

 

 

 

3,329,136

 

 

 

INGLES MARKETS INC CLASS A

 

COMMON STOCK USD.05

 

UNITED STATES

 

12,731

 

 

 

219,737

 

 

 

INGRAM MICRO INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

150,544

 

 

 

2,547,204

 

 

 

INGREDION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

73,500

 

 

 

4,735,605

 

 

 

INLAND REAL ESTATE CORP

 

REIT USD.01

 

UNITED STATES

 

76,200

 

 

 

638,556

 

 

 

INNERWORKINGS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

31,500

 

 

 

434,070

 

 

 

INNODATA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

4,200

 

 

 

15,876

 

 

 

INNOPHOS HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

22,083

 

 

 

1,026,860

 

 

 

INNOSPEC INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,500

 

 

 

776,025

 

 

 

INPHI CORP

 

COMMON STOCK

 

UNITED STATES

 

17,800

 

 

 

170,524

 

 

 

INSIGHT ENTERPRISES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,250

 

 

 

768,623

 

 

 

INSPERITY INC WD

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,900

 

 

 

778,184

 

 

 

INSTEEL INDUSTRIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

17,950

 

 

 

224,016

 

 

 

INSULET CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

51,300

 

 

 

1,088,586

 

 

 

INTEGRA LIFESCIENCES HOLDING

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,400

 

 

 

872,928

 

 

 

INTEGRATED DEVICE TECH INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

153,652

 

 

 

1,121,660

 

 

 

INTEGRATED SILICON SOLUTION

 

COMMON STOCK USD.0001

 

UNITED STATES

 

26,800

 

 

 

241,200

 

 

 

INTER PARFUMS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

17,262

 

 

 

335,919

 

 

 

INTERACTIVE BROKERS GRO CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,600

 

 

 

569,088

 

 

 

INTERACTIVE INTELLIGENCE GRO

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,500

 

 

 

486,330

 

 

89



Table of Contents

 

 

 

INTERDIGITAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,300

 

 

 

1,820,730

 

 

 

INTERFACE INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

55,900

 

 

 

898,872

 

 

 

INTERMEC INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,000

 

 

 

621,180

 

 

 

INTERMUNE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

53,100

 

 

 

514,539

 

 

 

INTERNAP NETWORK SERVICES

 

COMMON STOCK USD.001

 

UNITED STATES

 

63,565

 

 

 

441,141

 

 

 

INTERNATIONAL BANCSHARES CRP

 

COMMON STOCK USD1.

 

UNITED STATES

 

58,847

 

 

 

1,062,188

 

 

 

INTERSIL CORP A

 

COMMON STOCK USD.01

 

UNITED STATES

 

135,884

 

 

 

1,126,478

 

 

 

INTERVAL LEISURE GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,800

 

 

 

810,502

 

 

 

INTEVAC INC

 

COMMON STOCK NPV

 

UNITED STATES

 

22,000

 

 

 

100,540

 

 

 

INTL FCSTONE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,677

 

 

 

185,887

 

 

 

INTL RECTIFIER CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

75,555

 

 

 

1,339,590

 

 

 

INTL SHIPHOLDING CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

6,000

 

 

 

98,880

 

 

 

INTL SPEEDWAY CORP CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,200

 

 

 

916,984

 

 

 

INTRALINKS HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,700

 

 

 

177,079

 

 

 

INTREPID POTASH INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

52,900

 

 

 

1,126,241

 

 

 

INVACARE CORP

 

COMMON STOCK USD.25

 

UNITED STATES

 

31,100

 

 

 

506,930

 

 

 

INVENSENSE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

31,000

 

 

 

344,410

 

 

 

INVESCO MORTGAGE CAPITAL

 

REIT USD.01

 

UNITED STATES

 

111,400

 

 

 

2,195,694

 

 

 

INVESTMENT TECHNOLOGY GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

46,200

 

 

 

415,800

 

 

 

INVESTORS BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,700

 

 

 

812,546

 

 

 

INVESTORS REAL ESTATE TRUST

 

REIT NPV

 

UNITED STATES

 

84,400

 

 

 

736,812

 

 

 

INVESTORS TITLE CO

 

COMMON STOCK NPV

 

UNITED STATES

 

400

 

 

 

24,000

 

 

 

ION GEOPHYSICAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

129,100

 

 

 

840,441

 

 

 

IPC THE HOSPITALIST CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,600

 

 

 

659,186

 

 

 

IPG PHOTONICS CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

27,900

 

 

 

1,859,535

 

 

 

IRIDIUM COMMUNICATIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

52,200

 

 

 

351,828

 

 

 

IROBOT CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,925

 

 

 

448,355

 

 

 

IRONWOOD PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

69,300

 

 

 

768,537

 

 

 

ISIS PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

109,000

 

 

 

1,140,140

 

 

 

ISLE OF CAPRI CASINOS

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,400

 

 

 

97,440

 

 

 

ISRAMCO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

1,400

 

 

 

145,586

 

 

 

ISTAR FINANCIAL INC

 

REIT USD.001

 

UNITED STATES

 

99,618

 

 

 

811,887

 

 

 

ITC HOLDINGS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

51,900

 

 

 

3,991,629

 

 

 

ITRON INC

 

COMMON STOCK NPV

 

UNITED STATES

 

41,300

 

 

 

1,839,915

 

 

 

ITT CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

91,900

 

 

 

2,155,974

 

 

 

ITT EDUCATIONAL SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,620

 

 

 

460,792

 

 

 

IXIA

 

COMMON STOCK NPV

 

UNITED STATES

 

40,900

 

 

 

694,482

 

 

 

IXYS CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,580

 

 

 

215,521

 

 

 

J + J SNACK FOODS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

15,922

 

 

 

1,018,053

 

 

 

J2 GLOBAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,560

 

 

 

1,454,385

 

 

 

JACK HENRY + ASSOCIATES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

88,100

 

 

 

3,458,806

 

 

 

JACK IN THE BOX INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,822

 

 

 

1,253,309

 

 

 

JAKKS PACIFIC INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

34,100

 

 

 

426,932

 

 

 

JANUS CAPITAL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

194,700

 

 

 

1,658,844

 

 

 

JARDEN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

80,333

 

 

 

4,153,216

 

 

 

JEFFERIES GROUP INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

135,600

 

 

 

2,518,092

 

 

 

JETBLUE AIRWAYS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

241,585

 

 

 

1,379,450

 

 

 

JIVE SOFTWARE INC

 

COMMON STOCK

 

UNITED STATES

 

15,500

 

 

 

225,215

 

 

 

JMP GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

15,768

 

 

 

95,712

 

 

 

JOHN BEAN TECHNOLOGIES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,465

 

 

 

523,593

 

 

 

JOHNSON OUTDOORS INC A

 

COMMON STOCK USD.05

 

UNITED STATES

 

2,400

 

 

 

47,808

 

 

 

JONES GROUP INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,576

 

 

 

990,711

 

 

 

JONES LANG LASALLE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,100

 

 

 

3,617,814

 

 

 

JOS A BANK CLOTHIERS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,055

 

 

 

1,237,162

 

 

 

JOURNAL COMMUNICATIONS INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

42,600

 

 

 

230,466

 

 

 

K SWISS INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,400

 

 

 

88,704

 

 

 

K12 INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

28,100

 

 

 

574,364

 

 

 

KADANT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

13,544

 

 

 

359,051

 

 

 

KAISER ALUMINUM CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,000

 

 

 

1,048,730

 

 

 

KAMAN CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

28,854

 

 

 

1,061,827

 

 

 

KANSAS CITY LIFE INS CO

 

COMMON STOCK USD1.25

 

UNITED STATES

 

5,940

 

 

 

226,670

 

 

 

KANSAS CITY SOUTHERN

 

COMMON STOCK USD.01

 

UNITED STATES

 

106,650

 

 

 

8,903,142

 

 

 

KAPSTONE PAPER AND PACKAGING

 

COMMON STOCK USD.0001

 

UNITED STATES

 

35,500

 

 

 

787,745

 

 

 

KAR AUCTION SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,300

 

 

 

613,272

 

 

 

KAYDON CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

33,500

 

 

 

801,655

 

 

 

KB HOME

 

COMMON STOCK USD1.

 

UNITED STATES

 

75,400

 

 

 

1,191,320

 

 

 

KBR INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

142,787

 

 

 

4,272,187

 

 

 

KBW INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,300

 

 

 

570,690

 

 

 

KEARNY FINANCIAL CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

19,019

 

 

 

185,435

 

 

 

KELLY SERVICES INC A

 

COMMON STOCK USD1.

 

UNITED STATES

 

32,000

 

 

 

503,680

 

 

 

KEMET CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,800

 

 

 

200,194

 

 

 

KEMPER CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

49,600

 

 

 

1,463,200

 

 

 

KENNAMETAL INC

 

COMMON STOCK USD1.25

 

UNITED STATES

 

78,810

 

 

 

3,152,400

 

 

 

KENNEDY WILSON HOLDINGS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

31,100

 

 

 

434,778

 

 

 

KERYX BIOPHARMACEUTICALS

 

COMMON STOCK USD.001

 

UNITED STATES

 

69,000

 

 

 

180,780

 

 

 

KEY ENERGY SERVICES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

133,108

 

 

 

925,101

 

 

 

KEY TRONIC CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

1,700

 

 

 

17,408

 

 

 

KEYNOTE SYSTEMS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

13,342

 

 

 

187,989

 

 

 

KEYW HOLDING CORP/THE

 

COMMON STOCK

 

UNITED STATES

 

6,600

 

 

 

83,754

 

 

 

KFORCE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,390

 

 

 

449,819

 

 

 

KILROY REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

69,981

 

 

 

3,315,000

 

 

 

KIMBALL INTERNATIONAL B

 

COMMON STOCK USD.05

 

UNITED STATES

 

38,400

 

 

 

445,824

 

 

 

KINDRED HEALTHCARE INC

 

COMMON STOCK USD.25

 

UNITED STATES

 

52,117

 

 

 

563,906

 

 

 

KIOR INC CL A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

10,600

 

 

 

67,946

 

 

 

KIRBY CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

54,851

 

 

 

3,394,728

 

 

 

KIRKLAND S INC

 

COMMON STOCK NPV

 

UNITED STATES

 

17,800

 

 

 

188,502

 

 

 

KITE REALTY GROUP TRUST

 

REIT USD.01

 

UNITED STATES

 

51,600

 

 

 

288,444

 

 

 

KMG CHEMICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

500

 

 

 

8,785

 

 

 

KNIGHT CAPITAL GROUP INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

101,916

 

 

 

357,725

 

 

 

KNIGHT TRANSPORTATION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

64,087

 

 

 

937,593

 

 

 

KNOLL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,700

 

 

 

732,672

 

 

 

KODIAK OIL + GAS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

266,300

 

 

 

2,356,755

 

 

 

KOPIN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

75,929

 

 

 

252,844

 

 

 

KOPPERS HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,800

 

 

 

869,820

 

 

 

KORN/FERRY INTERNATIONAL

 

COMMON STOCK USD.01

 

UNITED STATES

 

53,100

 

 

 

842,166

 

 

 

KRATON PERFORMANCE POLYMERS

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,800

 

 

 

764,154

 

 

 

KRATOS DEFENSE + SECURITY

 

COMMON STOCK USD.001

 

UNITED STATES

 

18,673

 

 

 

93,925

 

 

 

KRISPY KREME DOUGHNUTS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

60,000

 

 

 

562,800

 

 

 

KRONOS WORLDWIDE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,800

 

 

 

522,600

 

 

 

KVH INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,103

 

 

 

211,140

 

 

 

LA Z BOY INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

52,300

 

 

 

740,045

 

 

 

LACLEDE GROUP INC/THE

 

COMMON STOCK USD1.

 

UNITED STATES

 

23,400

 

 

 

903,474

 

 

 

LADENBURG THALMANN FINANCIAL

 

COMMON STOCK USD.0001

 

UNITED STATES

 

81,500

 

 

 

114,100

 

 

 

LAKELAND BANCORP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

23,853

 

 

 

242,824

 

 

 

LAKELAND FINANCIAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

17,100

 

 

 

441,864

 

 

 

LAMAR ADVERTISING CO A

 

COMMON STOCK USD.001

 

UNITED STATES

 

73,254

 

 

 

2,838,593

 

 

 

LANCASTER COLONY CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

19,450

 

 

 

1,345,746

 

 

 

LANDAUER INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

10,000

 

 

 

612,100

 

 

 

LANDEC CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,549

 

 

 

251,950

 

 

 

LANDSTAR SYSTEM INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,600

 

 

 

2,497,096

 

 

 

LANNETT CO INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

1,700

 

 

 

8,432

 

 

 

LAREDO PETROLEUM HOLDINGS IN

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,200

 

 

 

366,832

 

 

90



Table of Contents

 

 

 

LAS VEGAS SANDS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

388,550

 

 

 

17,935,468

 

 

 

LASALLE HOTEL PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

86,300

 

 

 

2,191,157

 

 

 

LATTICE SEMICONDUCTOR CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

128,000

 

 

 

510,720

 

 

 

LAYNE CHRISTENSEN COMPANY

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,400

 

 

 

519,378

 

 

 

LEAP WIRELESS INTL INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

60,900

 

 

 

404,985

 

 

 

LEAPFROG ENTERPRISES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

33,400

 

 

 

288,242

 

 

 

LEAR CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

98,400

 

 

 

4,609,056

 

 

 

LENDER PROCESSING SERVICES

 

COMMON STOCK USD.0001

 

UNITED STATES

 

89,250

 

 

 

2,197,335

 

 

 

LENNOX INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,033

 

 

 

2,627,733

 

 

 

LEVEL 3 COMMUNICATIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

162,207

 

 

 

3,748,604

 

 

 

LEXICON PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

184,200

 

 

 

408,924

 

 

 

LEXINGTON REALTY TRUST

 

REIT USD.0001

 

UNITED STATES

 

121,893

 

 

 

1,273,782

 

 

 

LEXMARK INTERNATIONAL INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

64,200

 

 

 

1,488,798

 

 

 

LHC GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,149

 

 

 

365,274

 

 

 

LIBBEY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,500

 

 

 

377,325

 

 

 

LIBERTY GLOBAL INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

259,270

 

 

 

16,331,417

 

 

 

LIBERTY INTERACTIVE CORP A

 

COMMON STOCK USD.01

 

UNITED STATES

 

547,063

 

 

 

10,766,200

 

 

 

LIBERTY PROPERTY TRUST

 

REIT USD.001

 

UNITED STATES

 

104,100

 

 

 

3,723,657

 

 

 

LIBERTY VENTURES SER A

 

COMMON STOCK

 

UNITED STATES

 

36,471

 

 

 

2,471,275

 

 

 

LIFE TIME FITNESS INC

 

COMMON STOCK USD.02

 

UNITED STATES

 

43,400

 

 

 

2,135,714

 

 

 

LIFEPOINT HOSPITALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,436

 

 

 

1,941,709

 

 

 

LIFETIME BRANDS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,800

 

 

 

135,808

 

 

 

LIFEWAY FOODS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

3,200

 

 

 

27,968

 

 

 

LIGAND PHARMACEUTICALS CL B

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,533

 

 

 

405,114

 

 

 

LIMELIGHT NETWORKS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

57,600

 

 

 

127,872

 

 

 

LIMONEIRA CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

1,700

 

 

 

32,963

 

 

 

LIN TV CORP CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,600

 

 

 

245,478

 

 

 

LINCOLN EDUCATIONAL SERVICES

 

COMMON STOCK NPV

 

UNITED STATES

 

11,400

 

 

 

63,726

 

 

 

LINCOLN ELECTRIC HOLDINGS

 

COMMON STOCK NPV

 

UNITED STATES

 

83,660

 

 

 

4,072,569

 

 

 

LINDSAY CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

13,033

 

 

 

1,044,204

 

 

 

LINKEDIN CORP A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

59,900

 

 

 

6,877,718

 

 

 

LIONBRIDGE TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

61,900

 

 

 

248,838

 

 

 

LIONS GATE ENTERTAINMENT COR

 

COMMON STOCK NPV

 

UNITED STATES

 

79,000

 

 

 

1,295,600

 

 

 

LIQUIDITY SERVICES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

20,800

 

 

 

849,888

 

 

 

LITHIA MOTORS INC CL A

 

COMMON STOCK NPV

 

UNITED STATES

 

21,700

 

 

 

812,014

 

 

 

LITTELFUSE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,700

 

 

 

1,339,107

 

 

 

LIVE NATION ENTERTAINMENT IN

 

COMMON STOCK USD.01

 

UNITED STATES

 

130,462

 

 

 

1,214,601

 

 

 

LIVEPERSON INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

54,800

 

 

 

720,072

 

 

 

LKQ CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

284,914

 

 

 

6,011,685

 

 

 

LMI AEROSPACE INC

 

COMMON STOCK USD.02

 

UNITED STATES

 

9,800

 

 

 

189,532

 

 

 

LOGMEIN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,900

 

 

 

378,729

 

 

 

LORAL SPACE + COMMUNICATIONS

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,900

 

 

 

595,794

 

 

 

LOUISIANA PACIFIC CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

140,851

 

 

 

2,721,241

 

 

 

LPL FINANCIAL HOLDINGS INC

 

COMMON STOCK

 

UNITED STATES

 

47,700

 

 

 

1,343,232

 

 

 

LSB INDUSTRIES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

20,600

 

 

 

729,652

 

 

 

LSI INDUSTRIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

21,387

 

 

 

149,923

 

 

 

LTC PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

33,200

 

 

 

1,168,308

 

 

 

LTX CREDENCE CORP

 

COMMON STOCK USD.05

 

UNITED STATES

 

42,033

 

 

 

275,736

 

 

 

LUBY S INC

 

COMMON STOCK USD.32

 

UNITED STATES

 

8,900

 

 

 

59,541

 

 

 

LUFKIN INDUSTRIES INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

33,700

 

 

 

1,958,981

 

 

 

LUMBER LIQUIDATORS HOLDINGS

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,000

 

 

 

1,426,410

 

 

 

LUMINEX CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

38,905

 

 

 

652,048

 

 

 

LUMOS NETWORKS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,476

 

 

 

165,090

 

 

 

LYDALL INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

16,100

 

 

 

230,874

 

 

 

M/I HOMES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,600

 

 

 

572,400

 

 

 

MAC GRAY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,800

 

 

 

148,090

 

 

 

MACERICH CO/THE

 

REIT USD.01

 

UNITED STATES

 

130,500

 

 

 

7,608,150

 

 

 

MACK CALI REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

90,340

 

 

 

2,358,777

 

 

 

MADISON SQUARE GARDEN CO A

 

COMMON STOCK USD.01

 

UNITED STATES

 

61,568

 

 

 

2,730,541

 

 

 

MAGELLAN HEALTH SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,450

 

 

 

1,394,050

 

 

 

MAGNUM HUNTER RESOURCES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

100,900

 

 

 

402,591

 

 

 

MAGNUM HUNTER RESOURCES WTS

 

EXP 14OCT2013

 

UNITED STATES

 

10,090

 

 

 

303

 

 

 

MAIDENFORM BRANDS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,291

 

 

 

453,942

 

 

 

MAIN STREET CAPITAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,515

 

 

 

992,027

 

 

 

MAINSOURCE FINANCIAL GROUP I

 

COMMON STOCK NPV

 

UNITED STATES

 

20,412

 

 

 

258,620

 

 

 

MAKO SURGICAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

33,000

 

 

 

424,710

 

 

 

MANHATTAN ASSOCIATES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,244

 

 

 

1,281,863

 

 

 

MANITOWOC COMPANY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

135,700

 

 

 

2,127,776

 

 

 

MANNING + NAPIER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,500

 

 

 

233,100

 

 

 

MANNKIND CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

58,129

 

 

 

134,278

 

 

 

MANPOWERGROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

80,600

 

 

 

3,420,664

 

 

 

MANTECH INTERNATIONAL CORP A

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,639

 

 

 

639,136

 

 

 

MAP PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,700

 

 

 

293,777

 

 

 

MARCHEX INC CLASS B

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,900

 

 

 

114,669

 

 

 

MARCUS CORPORATION

 

COMMON STOCK USD1.

 

UNITED STATES

 

23,600

 

 

 

294,292

 

 

 

MARINE PRODUCTS CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

15,125

 

 

 

86,515

 

 

 

MARINEMAX INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

25,000

 

 

 

223,500

 

 

 

MARKEL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

9,454

 

 

 

4,097,553

 

 

 

MARKETAXESS HOLDINGS INC

 

COMMON STOCK USD.003

 

UNITED STATES

 

28,000

 

 

 

988,400

 

 

 

MARLIN BUSINESS SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,800

 

 

 

176,528

 

 

 

MARRIOTT VACATIONS WORLD

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,000

 

 

 

1,125,090

 

 

 

MARTEN TRANSPORT LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,643

 

 

 

324,455

 

 

 

MARTHA STEWART LIVING A

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,600

 

 

 

62,720

 

 

 

MARTIN MARIETTA MATERIALS

 

COMMON STOCK USD.01

 

UNITED STATES

 

46,751

 

 

 

4,407,684

 

 

 

MASIMO CORPORATION

 

COMMON STOCK USD.001

 

UNITED STATES

 

55,400

 

 

 

1,163,954

 

 

 

MASTEC INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

53,600

 

 

 

1,336,248

 

 

 

MATADOR RESOURCES CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

7,385

 

 

 

60,557

 

 

 

MATERION CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

23,899

 

 

 

616,116

 

 

 

MATRIX SERVICE CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,700

 

 

 

364,550

 

 

 

MATSON INC

 

COMMON STOCK NPV

 

UNITED STATES

 

42,924

 

 

 

1,061,081

 

 

 

MATTHEWS INTL CORP CLASS A

 

COMMON STOCK USD1.

 

UNITED STATES

 

32,246

 

 

 

1,035,097

 

 

 

MATTRESS FIRM HOLDING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,000

 

 

 

220,770

 

 

 

MAXIM INTEGRATED PRODUCTS

 

COMMON STOCK USD.001

 

UNITED STATES

 

286,600

 

 

 

8,426,040

 

 

 

MAXIMUS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

34,464

 

 

 

2,178,814

 

 

 

MAXWELL TECHNOLOGIES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

29,100

 

 

 

241,239

 

 

 

MAXYGEN INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

29,600

 

 

 

72,816

 

 

 

MB FINANCIAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

58,683

 

 

 

1,158,989

 

 

 

MBIA INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

143,336

 

 

 

1,125,188

 

 

 

MCCLATCHY CO CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

65,800

 

 

 

215,166

 

 

 

MCDERMOTT INTL INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

239,513

 

 

 

2,639,433

 

 

 

MCG CAPITAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

65,625

 

 

 

301,875

 

 

 

MCGRATH RENTCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

28,248

 

 

 

819,757

 

 

 

MCMORAN EXPLORATION CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

101,600

 

 

 

1,630,680

 

 

 

MDC HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,415

 

 

 

1,485,655

 

 

 

MDU RESOURCES GROUP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

186,245

 

 

 

3,955,844

 

 

 

MEADOWBROOK INSURANCE GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,043

 

 

 

364,389

 

 

 

MEASUREMENT SPECIALTIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

16,396

 

 

 

563,367

 

 

 

MEDALLION FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,084

 

 

 

235,786

 

 

 

MEDASSETS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,800

 

 

 

801,606

 

 

 

MEDICAL PROPERTIES TRUST INC

 

REIT USD.001

 

UNITED STATES

 

134,581

 

 

 

1,609,589

 

 

 

MEDICINES COMPANY

 

COMMON STOCK USD.001

 

UNITED STATES

 

56,700

 

 

 

1,359,099

 

 

 

MEDIDATA SOLUTIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,700

 

 

 

811,233

 

 

91



Table of Contents

 

 

 

MEDIFAST INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

13,400

 

 

 

353,626

 

 

 

MEDIVATION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

71,200

 

 

 

3,642,592

 

 

 

MEDLEY CAPITAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

23,322

 

 

 

339,575

 

 

 

MEDNAX INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

48,249

 

 

 

3,836,760

 

 

 

MEETME INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

9,200

 

 

 

32,108

 

 

 

MEMC ELECTRONIC MATERIALS

 

COMMON STOCK USD.01

 

UNITED STATES

 

250,700

 

 

 

804,747

 

 

 

MEN S WEARHOUSE INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,860

 

 

 

1,647,118

 

 

 

MENTOR GRAPHICS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

102,300

 

 

 

1,741,146

 

 

 

MERCHANTS BANCSHARES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,476

 

 

 

226,903

 

 

 

MERCURY GENERAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

27,700

 

 

 

1,099,413

 

 

 

MERCURY SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,700

 

 

 

282,440

 

 

 

MEREDITH CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

37,100

 

 

 

1,278,095

 

 

 

MERGE HEALTHCARE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

55,700

 

 

 

137,579

 

 

 

MERIDIAN BIOSCIENCE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

43,140

 

 

 

873,585

 

 

 

MERIDIAN INTERSTATE BANCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

6,600

 

 

 

110,748

 

 

 

MERIT MEDICAL SYSTEMS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

42,020

 

 

 

584,078

 

 

 

MERITAGE HOMES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,000

 

 

 

1,120,500

 

 

 

MERITOR INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

108,412

 

 

 

512,789

 

 

 

MESA LABORATORIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

2,600

 

 

 

130,286

 

 

 

MET PRO CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

15,200

 

 

 

147,288

 

 

 

METALICO INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,300

 

 

 

55,468

 

 

 

METALS USA HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,000

 

 

 

192,390

 

 

 

METHODE ELECTRONICS INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

42,160

 

 

 

422,865

 

 

 

METRO BANCORP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

8,395

 

 

 

110,982

 

 

 

METTLER TOLEDO INTERNATIONAL

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,900

 

 

 

5,972,970

 

 

 

MFA FINANCIAL INC

 

REIT USD.01

 

UNITED STATES

 

358,200

 

 

 

2,905,002

 

 

 

MGE ENERGY INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

23,300

 

 

 

1,187,135

 

 

 

MGIC INVESTMENT CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

205,000

 

 

 

545,300

 

 

 

MGM RESORTS INTERNATIONAL

 

COMMON STOCK USD.01

 

UNITED STATES

 

383,150

 

 

 

4,459,866

 

 

 

MICHAEL BAKER CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

6,942

 

 

 

173,064

 

 

 

MICREL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

51,400

 

 

 

488,300

 

 

 

MICROFINANCIAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

1,200

 

 

 

8,736

 

 

 

MICROS SYSTEMS INC

 

COMMON STOCK USD.0125

 

UNITED STATES

 

80,900

 

 

 

3,433,396

 

 

 

MICROSEMI CORP

 

COMMON STOCK USD.2

 

UNITED STATES

 

87,600

 

 

 

1,843,104

 

 

 

MICROSTRATEGY INC CL A

 

COMMON STOCK USD.001

 

UNITED STATES

 

8,168

 

 

 

762,728

 

 

 

MID AMERICA APARTMENT COMM

 

REIT USD.01

 

UNITED STATES

 

42,012

 

 

 

2,720,277

 

 

 

MIDDLEBY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,294

 

 

 

2,473,684

 

 

 

MIDDLESEX WATER CO

 

COMMON STOCK NPV

 

UNITED STATES

 

17,200

 

 

 

336,432

 

 

 

MIDSOUTH BANCORP INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

6,093

 

 

 

99,621

 

 

 

MIDSTATES PETROLEUM CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,900

 

 

 

130,221

 

 

 

MIDWAY GOLD CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

39,100

 

 

 

54,349

 

 

 

MILLER ENERGY RESOURCES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

14,400

 

 

 

57,024

 

 

 

MILLER INDUSTRIES INC/TENN

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,900

 

 

 

166,225

 

 

 

MINDSPEED TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,200

 

 

 

117,936

 

 

 

MINE SAFETY APPLIANCES CO

 

COMMON STOCK NPV

 

UNITED STATES

 

27,915

 

 

 

1,192,250

 

 

 

MINERALS TECHNOLOGIES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

39,200

 

 

 

1,564,864

 

 

 

MIPS TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

54,046

 

 

 

422,640

 

 

 

MISTRAS GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,800

 

 

 

266,652

 

 

 

MITCHAM INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,400

 

 

 

169,012

 

 

 

MKS INSTRUMENTS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

53,452

 

 

 

1,377,993

 

 

 

MOBILE MINI INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,231

 

 

 

838,012

 

 

 

MODINE MANUFACTURING CO

 

COMMON STOCK USD.625

 

UNITED STATES

 

54,500

 

 

 

443,085

 

 

 

MODUSLINK GLOBAL SOLUTIONS I

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,559

 

 

 

149,521

 

 

 

MOHAWK INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

55,779

 

 

 

5,046,326

 

 

 

MOLINA HEALTHCARE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,150

 

 

 

761,739

 

 

 

MOLYCORP INC

 

COMMON STOCK

 

UNITED STATES

 

57,800

 

 

 

545,632

 

 

 

MOMENTA PHARMACEUTICALS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

49,500

 

 

 

583,110

 

 

 

MONARCH CASINO + RESORT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,125

 

 

 

132,284

 

 

 

MONEYGRAM INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,650

 

 

 

141,539

 

 

 

MONMOUTH REIT CLASS A

 

REIT USD.01

 

UNITED STATES

 

39,200

 

 

 

406,112

 

 

 

MONOLITHIC POWER SYSTEMS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

35,400

 

 

 

788,712

 

 

 

MONOTYPE IMAGING HOLDINGS IN

 

COMMON STOCK USD.001

 

UNITED STATES

 

34,800

 

 

 

556,104

 

 

 

MONRO MUFFLER BRAKE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,939

 

 

 

1,116,907

 

 

 

MONSTER WORLDWIDE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

123,400

 

 

 

693,508

 

 

 

MOOG INC CLASS A

 

COMMON STOCK USD1.

 

UNITED STATES

 

46,299

 

 

 

1,899,648

 

 

 

MORGANS HOTEL GROUP CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,760

 

 

 

120,550

 

 

 

MORNINGSTAR INC

 

COMMON STOCK NPV

 

UNITED STATES

 

24,317

 

 

 

1,527,837

 

 

 

MOVADO GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,500

 

 

 

567,580

 

 

 

MOVE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

38,165

 

 

 

289,672

 

 

 

MRC GLOBAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,600

 

 

 

544,488

 

 

 

MSC INDUSTRIAL DIRECT CO A

 

COMMON STOCK USD.001

 

UNITED STATES

 

46,325

 

 

 

3,491,979

 

 

 

MSCI INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

119,624

 

 

 

3,707,148

 

 

 

MTR GAMING GROUP INC

 

COMMON STOCK USD.00001

 

UNITED STATES

 

4,100

 

 

 

17,097

 

 

 

MTS SYSTEMS CORP

 

COMMON STOCK USD.25

 

UNITED STATES

 

15,740

 

 

 

801,638

 

 

 

MUELLER INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,400

 

 

 

970,582

 

 

 

MUELLER WATER PRODUCTS INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

161,400

 

 

 

905,454

 

 

 

MULTI COLOR CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

15,420

 

 

 

369,926

 

 

 

MULTI FINELINE ELECTRONIX IN

 

COMMON STOCK USD.0001

 

UNITED STATES

 

10,200

 

 

 

206,142

 

 

 

MULTIMEDIA GAMES HOLDING CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,000

 

 

 

411,880

 

 

 

MVC CAPITAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,213

 

 

 

318,488

 

 

 

MWI VETERINARY SUPPLY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,600

 

 

 

1,386,000

 

 

 

MYERS INDUSTRIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

37,643

 

 

 

570,291

 

 

 

MYR GROUP INC/DELAWARE

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,400

 

 

 

520,650

 

 

 

MYRIAD GENETICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

86,300

 

 

 

2,351,675

 

 

 

N B T BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,514

 

 

 

760,409

 

 

 

NACCO INDUSTRIES CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

5,970

 

 

 

362,319

 

 

 

NANOMETRICS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

19,600

 

 

 

282,632

 

 

 

NASB FINANCIAL INC

 

COMMON STOCK USD.15

 

UNITED STATES

 

1,100

 

 

 

23,507

 

 

 

NASH FINCH CO

 

COMMON STOCK USD1.667

 

UNITED STATES

 

14,000

 

 

 

297,920

 

 

 

NATHAN S FAMOUS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

500

 

 

 

16,850

 

 

 

NATIONAL BANKSHARES INC/VA

 

COMMON STOCK USD1.25

 

UNITED STATES

 

8,300

 

 

 

268,837

 

 

 

NATIONAL BEVERAGE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,260

 

 

 

164,283

 

 

 

NATIONAL CINEMEDIA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,400

 

 

 

811,062

 

 

 

NATIONAL FINANCIAL PARTNERS

 

COMMON STOCK USD.1

 

UNITED STATES

 

47,000

 

 

 

805,580

 

 

 

NATIONAL FUEL GAS CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

72,784

 

 

 

3,689,421

 

 

 

NATIONAL HEALTHCARE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,700

 

 

 

503,114

 

 

 

NATIONAL INSTRUMENTS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

92,125

 

 

 

2,377,746

 

 

 

NATIONAL INTERSTATE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

5,834

 

 

 

168,136

 

 

 

NATIONAL PRESTO INDS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

5,400

 

 

 

373,140

 

 

 

NATIONAL RESEARCH CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

607

 

 

 

32,899

 

 

 

NATIONAL RETAIL PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

104,430

 

 

 

3,258,216

 

 

 

NATIONSTAR MORTGAGE HOLDINGS

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,900

 

 

 

492,582

 

 

 

NATL HEALTH INVESTORS INC

 

REIT USD.01

 

UNITED STATES

 

25,316

 

 

 

1,431,113

 

 

 

NATL PENN BCSHS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

132,412

 

 

 

1,234,080

 

 

 

NATL WESTERN LIFE INS CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

2,400

 

 

 

378,576

 

 

 

NATURAL GAS SERVICES GROUP

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,500

 

 

 

188,830

 

 

 

NATURES SUNSHINE PRODS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

10,200

 

 

 

147,696

 

 

 

NATUS MEDICAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

35,800

 

 

 

400,244

 

 

 

NAVIDEA BIOPHARMACEUTICALS I

 

COMMON STOCK USD.001

 

UNITED STATES

 

92,800

 

 

 

262,624

 

 

 

NAVIGANT CONSULTING INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

54,800

 

 

 

611,568

 

 

 

NAVIGATORS GROUP INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

13,000

 

 

 

663,910

 

 

 

NAVISTAR INTERNATIONAL CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

64,600

 

 

 

1,406,342

 

 

92



Table of Contents

 

 

 

NCI BUILDING SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,205

 

 

 

211,350

 

 

 

NCR CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

163,200

 

 

 

4,158,336

 

 

 

NEENAH PAPER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,100

 

 

 

543,777

 

 

 

NEKTAR THERAPEUTICS

 

COMMON STOCK USD.0001

 

UNITED STATES

 

111,400

 

 

 

825,474

 

 

 

NELNET INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,400

 

 

 

786,456

 

 

 

NEOGEN CORP

 

COMMON STOCK USD.16

 

UNITED STATES

 

24,543

 

 

 

1,112,289

 

 

 

NETGEAR INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

38,300

 

 

 

1,509,786

 

 

 

NETSCOUT SYSTEMS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

35,800

 

 

 

930,442

 

 

 

NETSPEND HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,100

 

 

 

426,702

 

 

 

NETSUITE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,000

 

 

 

1,884,400

 

 

 

NEUROCRINE BIOSCIENCES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

53,100

 

 

 

397,188

 

 

 

NEUSTAR INC CLASS A

 

COMMON STOCK USD.001

 

UNITED STATES

 

70,060

 

 

 

2,937,616

 

 

 

NEUTRAL TANDEM INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

33,900

 

 

 

87,123

 

 

 

NEW JERSEY RESOURCES CORP

 

COMMON STOCK USD2.5

 

UNITED STATES

 

42,325

 

 

 

1,676,917

 

 

 

NEW YORK + CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

21,054

 

 

 

80,216

 

 

 

NEW YORK COMMUNITY BANCORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

443,069

 

 

 

5,804,204

 

 

 

NEW YORK MORTGAGE TRUST INC

 

REIT USD.02

 

UNITED STATES

 

48,500

 

 

 

306,520

 

 

 

NEW YORK TIMES CO A

 

COMMON STOCK USD.1

 

UNITED STATES

 

145,600

 

 

 

1,241,968

 

 

 

NEWMARKET CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

8,672

 

 

 

2,273,798

 

 

 

NEWPARK RESOURCES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

98,300

 

 

 

771,655

 

 

 

NEWPORT CORP

 

COMMON STOCK USD.1167

 

UNITED STATES

 

39,200

 

 

 

527,240

 

 

 

NEWSTAR FINANCIAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,500

 

 

 

301,215

 

 

 

NGP CAPITAL RESOURCES CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

29,729

 

 

 

214,643

 

 

 

NIC INC

 

COMMON STOCK NPV

 

UNITED STATES

 

63,900

 

 

 

1,044,126

 

 

 

NICHOLAS FINANCIAL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

7,000

 

 

 

86,800

 

 

 

NIELSEN HOLDINGS NV

 

COMMON STOCK EUR.07

 

UNITED STATES

 

116,700

 

 

 

3,569,853

 

 

 

NII HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

174,322

 

 

 

1,242,916

 

 

 

NL INDUSTRIES

 

COMMON STOCK USD.125

 

UNITED STATES

 

6,200

 

 

 

70,990

 

 

 

NN INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,000

 

 

 

137,400

 

 

 

NORANDA ALUMINUM HOLDING COR

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,400

 

 

 

118,534

 

 

 

NORDSON CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

63,548

 

 

 

4,011,150

 

 

 

NORTEK INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,500

 

 

 

430,625

 

 

 

NORTHERN OIL AND GAS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

63,500

 

 

 

1,068,070

 

 

 

NORTHFIELD BANCORP INC/NJ

 

COMMON STOCK USD.001

 

UNITED STATES

 

18,500

 

 

 

282,125

 

 

 

NORTHRIM BANCORP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

1,100

 

 

 

24,915

 

 

 

NORTHSTAR REALTY FINANCE COR

 

REIT USD.01

 

UNITED STATES

 

171,178

 

 

 

1,205,093

 

 

 

NORTHWEST BANCSHARES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

101,775

 

 

 

1,235,549

 

 

 

NORTHWEST NATURAL GAS CO

 

COMMON STOCK USD3.167

 

UNITED STATES

 

26,833

 

 

 

1,186,019

 

 

 

NORTHWEST PIPE CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,800

 

 

 

233,828

 

 

 

NORTHWESTERN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,595

 

 

 

1,166,754

 

 

 

NOVAVAX INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

125,000

 

 

 

236,250

 

 

 

NPS PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

85,200

 

 

 

775,320

 

 

 

NRG ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

1

 

 

 

20

 

 

 

NTELOS HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,476

 

 

 

216,000

 

 

 

NU SKIN ENTERPRISES INC A

 

COMMON STOCK USD.001

 

UNITED STATES

 

53,800

 

 

 

1,993,290

 

 

 

NUANCE COMMUNICATIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

243,304

 

 

 

5,430,545

 

 

 

NUMEREX CORP CL A

 

COMMON STOCK NPV

 

UNITED STATES

 

9,100

 

 

 

119,574

 

 

 

NUTRACEUTICAL INTL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,361

 

 

 

204,451

 

 

 

NUTRISYSTEM INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

33,125

 

 

 

271,294

 

 

 

NUVASIVE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

39,599

 

 

 

612,201

 

 

 

NV ENERGY INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

235,600

 

 

 

4,273,784

 

 

 

NVE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

4,717

 

 

 

261,746

 

 

 

NVR INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

5,100

 

 

 

4,692,000

 

 

 

NXSTAGE MEDICAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

43,400

 

 

 

488,250

 

 

 

OASIS PETROLEUM INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

75,800

 

 

 

2,410,440

 

 

 

OBAGI MEDICAL PRODUCTS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

21,600

 

 

 

293,544

 

 

 

OCEANEERING INTL INC

 

COMMON STOCK USD.25

 

UNITED STATES

 

107,032

 

 

 

5,757,251

 

 

 

OCEANFIRST FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,192

 

 

 

195,140

 

 

 

OCLARO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,600

 

 

 

68,452

 

 

 

OCWEN FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

101,700

 

 

 

3,517,803

 

 

 

OCZ TECHNOLOGY GROUP INC

 

COMMON STOCK USD.0025

 

UNITED STATES

 

65,900

 

 

 

125,869

 

 

 

ODYSSEY MARINE EXPLORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

59,800

 

 

 

177,606

 

 

 

OFFICE DEPOT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

297,200

 

 

 

974,816

 

 

 

OFFICEMAX INC

 

COMMON STOCK USD2.5

 

UNITED STATES

 

83,600

 

 

 

815,936

 

 

 

OFG BANCORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

96,000

 

 

 

5,405,760

 

 

 

OGE ENERGY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

5,500

 

 

 

151,800

 

 

 

OIL DRI CORP OF AMERICA

 

COMMON STOCK USD.1

 

UNITED STATES

 

52,800

 

 

 

3,777,312

 

 

 

OIL STATES INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

71,520

 

 

 

2,451,706

 

 

 

OLD DOMINION FREIGHT LINE

 

COMMON STOCK USD.1

 

UNITED STATES

 

98,721

 

 

 

1,171,818

 

 

 

OLD NATIONAL BANCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

263,170

 

 

 

2,802,761

 

 

 

OLD REPUBLIC INTL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

81,932

 

 

 

1,768,912

 

 

 

OLIN CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

11,389

 

 

 

252,152

 

 

 

OLYMPIC STEEL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

34,300

 

 

 

761,460

 

 

 

OM GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

600

 

 

 

7,416

 

 

 

OMEGA FLEX INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

105,592

 

 

 

2,518,369

 

 

 

OMEGA HEALTHCARE INVESTORS

 

REIT USD.1

 

UNITED STATES

 

21,900

 

 

 

134,028

 

 

 

OMEGA PROTEIN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,700

 

 

 

91,863

 

 

 

OMEROS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,900

 

 

 

159,597

 

 

 

OMNIAMERICAN BANCORP INC

 

COMMON STOCK

 

UNITED STATES

 

113,500

 

 

 

4,097,350

 

 

 

OMNICARE INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

35,300

 

 

 

524,911

 

 

 

OMNICELL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

52,500

 

 

 

739,200

 

 

 

OMNIVISION TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

49,800

 

 

 

349,098

 

 

 

OMNOVA SOLUTIONS INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

43,452

 

 

 

881,207

 

 

 

ON ASSIGNMENT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

465,780

 

 

 

3,283,749

 

 

 

ON SEMICONDUCTOR CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

7,767

 

 

 

101,903

 

 

 

ONCOGENEX PHARMACEUTICAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,000

 

 

 

69,120

 

 

 

ONCOTHYREON INC

 

COMMON STOCK NPV

 

UNITED STATES

 

8,085

 

 

 

164,045

 

 

 

ONE LIBERTY PROPERTIES INC

 

REIT USD1.

 

UNITED STATES

 

25,600

 

 

 

355,840

 

 

 

ONEBEACON INSURANCE GROUP A

 

COMMON STOCK USD.01

 

UNITED STATES

 

64,200

 

 

 

4,849,026

 

 

 

ONYX PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

22,900

 

 

 

1,117,520

 

 

 

OPENTABLE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

110,100

 

 

 

529,581

 

 

 

OPKO HEALTH INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,406

 

 

 

411,405

 

 

 

OPLINK COMMUNICATIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

9,600

 

 

 

165,792

 

 

 

OPPENHEIMER HOLDINGS CL A

 

COMMON STOCK USD.001

 

UNITED STATES

 

47,500

 

 

 

429,875

 

 

 

OPTIMER PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

51,010

 

 

 

366,252

 

 

 

ORASURE TECHNOLOGIES INC

 

COMMON STOCK USD.000001

 

UNITED STATES

 

59,500

 

 

 

819,315

 

 

 

ORBITAL SCIENCES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,700

 

 

 

99,824

 

 

 

ORBITZ WORLDWIDE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,700

 

 

 

151,249

 

 

 

ORION MARINE GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,500

 

 

 

208,335

 

 

 

ORITANI FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,100

 

 

 

767,532

 

 

 

ORMAT TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

20,400

 

 

 

393,312

 

 

 

OSHKOSH CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,639

 

 

 

2,657,796

 

 

 

OSI SYSTEMS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

19,600

 

 

 

1,255,184

 

 

 

OSIRIS THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,900

 

 

 

133,802

 

 

 

OTTER TAIL CORP

 

COMMON STOCK USD5.

 

UNITED STATES

 

39,000

 

 

 

975,000

 

 

 

OUTDOOR CHANNEL HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

15,384

 

 

 

116,918

 

 

 

OVERSTOCK.COM INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

14,200

 

 

 

203,202

 

 

 

OWENS + MINOR INC

 

COMMON STOCK USD2.

 

UNITED STATES

 

64,450

 

 

 

1,837,470

 

 

 

OWENS CORNING

 

COMMON STOCK USD.001

 

UNITED STATES

 

116,900

 

 

 

4,324,131

 

 

 

OXFORD INDUSTRIES INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

13,994

 

 

 

648,762

 

 

 

PACER INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,800

 

 

 

159,120

 

 

 

PACIFIC BIOSCIENCES OF CALIF

 

COMMON STOCK USD.0001

 

UNITED STATES

 

29,700

 

 

 

50,490

 

 

93



Table of Contents

 

 

 

PACIFIC CONTINENTAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

19,793

 

 

 

192,586

 

 

 

PACIRA PHARMACEUTICALS INC

 

COMMON STOCK

 

UNITED STATES

 

18,100

 

 

 

316,207

 

 

 

PACKAGING CORP OF AMERICA

 

COMMON STOCK USD.01

 

UNITED STATES

 

93,800

 

 

 

3,608,486

 

 

 

PACWEST BANCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

34,000

 

 

 

842,520

 

 

 

PAIN THERAPEUTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

35,300

 

 

 

95,663

 

 

 

PALO ALTO NETWORKS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

7,000

 

 

 

374,640

 

 

 

PALOMAR MEDICAL TECHNOLOGIES

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,200

 

 

 

176,832

 

 

 

PANDORA MEDIA INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

94,500

 

 

 

867,510

 

 

 

PANERA BREAD COMPANY CLASS A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

28,400

 

 

 

4,510,772

 

 

 

PANHANDLE OIL AND GAS INC A

 

COMMON STOCK USD.01666

 

UNITED STATES

 

8,341

 

 

 

235,466

 

 

 

PANTRY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,900

 

 

 

289,907

 

 

 

PAPA JOHN S INTL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,600

 

 

 

966,944

 

 

 

PARAMOUNT GOLD AND SILVER

 

COMMON STOCK USD.001

 

UNITED STATES

 

103,900

 

 

 

241,048

 

 

 

PAREXEL INTERNATIONAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

59,270

 

 

 

1,753,799

 

 

 

PARK ELECTROCHEMICAL CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

22,850

 

 

 

587,931

 

 

 

PARK NATIONAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

13,217

 

 

 

854,215

 

 

 

PARK OHIO HOLDINGS CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

7,900

 

 

 

168,349

 

 

 

PARK STERLING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

5,700

 

 

 

29,811

 

 

 

PARKER DRILLING CO

 

COMMON STOCK USD.167

 

UNITED STATES

 

132,880

 

 

 

611,248

 

 

 

PARKWAY PROPERTIES INC

 

REIT USD.001

 

UNITED STATES

 

27,842

 

 

 

389,510

 

 

 

PATRICK INDUSTRIES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

1,100

 

 

 

17,116

 

 

 

PATRIOT TRANSPORTATION HLDG

 

COMMON STOCK USD.1

 

UNITED STATES

 

5,800

 

 

 

164,894

 

 

 

PATTERSON UTI ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

162,800

 

 

 

3,032,964

 

 

 

PC CONNECTION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

7,900

 

 

 

90,850

 

 

 

PDC ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,394

 

 

 

810,125

 

 

 

PDF SOLUTIONS INC

 

COMMON STOCK USD.00015

 

UNITED STATES

 

9,900

 

 

 

136,422

 

 

 

PDL BIOPHARMA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

138,910

 

 

 

979,316

 

 

 

PEBBLEBROOK HOTEL TRUST

 

REIT USD.01

 

UNITED STATES

 

52,300

 

 

 

1,208,130

 

 

 

PEGASYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,931

 

 

 

474,715

 

 

 

PENDRELL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

133,600

 

 

 

169,672

 

 

 

PENN NATIONAL GAMING INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

66,400

 

 

 

3,260,904

 

 

 

PENN REAL ESTATE INVEST TST

 

REIT USD1.

 

UNITED STATES

 

59,248

 

 

 

1,045,135

 

 

 

PENN VIRGINIA CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,600

 

 

 

223,146

 

 

 

PENNANTPARK INVESTMENT CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

59,390

 

 

 

652,993

 

 

 

PENNS WOODS BANCORP INC

 

COMMON STOCK USD8.33

 

UNITED STATES

 

4,000

 

 

 

149,640

 

 

 

PENNYMAC MORTGAGE INVESTMENT

 

REIT USD.01

 

UNITED STATES

 

57,900

 

 

 

1,464,291

 

 

 

PENSKE AUTOMOTIVE GROUP INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

41,700

 

 

 

1,254,753

 

 

 

PEOPLES BANCORP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

12,495

 

 

 

255,273

 

 

 

PEP BOYS MANNY MOE + JACK

 

COMMON STOCK USD1.

 

UNITED STATES

 

58,880

 

 

 

578,790

 

 

 

PERFICIENT INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

34,200

 

 

 

402,876

 

 

 

PERICOM SEMICONDUCTOR CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

27,600

 

 

 

221,628

 

 

 

PERRY ELLIS INTERNATIONAL

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,150

 

 

 

241,785

 

 

 

PETMED EXPRESS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,700

 

 

 

296,370

 

 

 

PETROQUEST ENERGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

61,753

 

 

 

305,677

 

 

 

PHARMACYCLICS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

52,300

 

 

 

3,028,170

 

 

 

PHARMERICA CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

33,079

 

 

 

471,045

 

 

 

PHH CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,900

 

 

 

1,317,225

 

 

 

PHI INC NON VOTING

 

COMMON STOCK USD.1

 

UNITED STATES

 

15,400

 

 

 

515,746

 

 

 

PHOENIX COMPANIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,090

 

 

 

150,606

 

 

 

PHOTRONICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

59,242

 

 

 

353,082

 

 

 

PICO HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

24,084

 

 

 

488,183

 

 

 

PIEDMONT NATURAL GAS CO

 

COMMON STOCK NPV

 

UNITED STATES

 

73,100

 

 

 

2,288,761

 

 

 

PIEDMONT OFFICE REALTY TRU A

 

REIT USD.01

 

UNITED STATES

 

176,000

 

 

 

3,176,800

 

 

 

PIER 1 IMPORTS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

99,850

 

 

 

1,997,000

 

 

 

PIKE ELECTRIC CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,700

 

 

 

140,385

 

 

 

PILGRIM S PRIDE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

48,530

 

 

 

351,843

 

 

 

PINNACLE ENTERTAINMENT INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

70,500

 

 

 

1,116,015

 

 

 

PINNACLE FINANCIAL PARTNERS

 

COMMON STOCK USD1.

 

UNITED STATES

 

36,860

 

 

 

694,442

 

 

 

PIONEER ENERGY SERVICES CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

61,505

 

 

 

446,526

 

 

 

PIPER JAFFRAY COS

 

COMMON STOCK USD.01

 

UNITED STATES

 

15,441

 

 

 

496,119

 

 

 

PLAINS EXPLORATION + PRODUCT

 

COMMON STOCK USD.01

 

UNITED STATES

 

128,546

 

 

 

6,033,949

 

 

 

PLANTRONICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,600

 

 

 

1,533,792

 

 

 

PLEXUS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,700

 

 

 

998,460

 

 

 

PLX TECHNOLOGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

29,400

 

 

 

106,722

 

 

 

PMC SIERRA INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

221,500

 

 

 

1,154,015

 

 

 

PMFG INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

20,500

 

 

 

186,345

 

 

 

PNM RESOURCES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

85,950

 

 

 

1,762,835

 

 

 

POLARIS INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

64,568

 

 

 

5,433,397

 

 

 

POLYCOM INC

 

COMMON STOCK USD.0005

 

UNITED STATES

 

179,384

 

 

 

1,876,357

 

 

 

POLYONE CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

87,625

 

 

 

1,789,303

 

 

 

POLYPORE INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,000

 

 

 

2,046,000

 

 

 

POOL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

48,274

 

 

 

2,042,956

 

 

 

PORTFOLIO RECOVERY ASSOCIATE

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,100

 

 

 

1,934,166

 

 

 

PORTLAND GENERAL ELECTRIC CO

 

COMMON STOCK NPV

 

UNITED STATES

 

77,000

 

 

 

2,106,720

 

 

 

POST HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,351

 

 

 

936,772

 

 

 

POST PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

54,110

 

 

 

2,702,795

 

 

 

POTLATCH CORP

 

REIT USD1.

 

UNITED STATES

 

41,905

 

 

 

1,642,257

 

 

 

POWELL INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

9,600

 

 

 

398,688

 

 

 

POWER INTEGRATIONS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,900

 

 

 

971,329

 

 

 

POWER ONE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

76,600

 

 

 

314,826

 

 

 

POZEN INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,200

 

 

 

141,282

 

 

 

PREFORMED LINE PRODUCTS CO

 

COMMON STOCK USD2.

 

UNITED STATES

 

3,500

 

 

 

207,970

 

 

 

PREMIER EXHIBITIONS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

5,900

 

 

 

15,989

 

 

 

PREMIERE GLOBAL SERVICES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

67,470

 

 

 

659,857

 

 

 

PRESTIGE BRANDS HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,233

 

 

 

1,006,167

 

 

 

PRGX GLOBAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,246

 

 

 

91,887

 

 

 

PRICESMART INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

18,100

 

 

 

1,394,605

 

 

 

PRIMERICA INC

 

COMMON STOCK

 

UNITED STATES

 

43,800

 

 

 

1,314,438

 

 

 

PRIMORIS SERVICES CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

29,300

 

 

 

440,672

 

 

 

PRIVATEBANCORP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

57,200

 

 

 

876,304

 

 

 

PROASSURANCE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

62,740

 

 

 

2,647,001

 

 

 

PROCERA NETWORKS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

15,900

 

 

 

294,945

 

 

 

PROGENICS PHARMACEUTICALS

 

COMMON STOCK USD.0013

 

UNITED STATES

 

29,405

 

 

 

87,627

 

 

 

PROGRESS SOFTWARE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

62,500

 

 

 

1,311,875

 

 

 

PROS HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

22,900

 

 

 

418,841

 

 

 

PROSPECT CAPITAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

195,339

 

 

 

2,123,336

 

 

 

PROSPERITY BANCSHARES INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

47,000

 

 

 

1,974,000

 

 

 

PROTECTIVE LIFE CORP

 

COMMON STOCK USD.5

 

UNITED STATES

 

79,882

 

 

 

2,283,028

 

 

 

PROTO LABS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

5,000

 

 

 

197,100

 

 

 

PROVIDENCE SERVICE CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,755

 

 

 

250,687

 

 

 

PROVIDENT FINANCIAL SERVICES

 

COMMON STOCK USD.01

 

UNITED STATES

 

61,201

 

 

 

913,119

 

 

 

PROVIDENT NEW YORK BANCORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,899

 

 

 

408,700

 

 

 

PS BUSINESS PARKS INC/CA

 

REIT USD.01

 

UNITED STATES

 

20,240

 

 

 

1,315,195

 

 

 

PSS WORLD MEDICAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,307

 

 

 

1,423,986

 

 

 

PTC INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

119,600

 

 

 

2,692,196

 

 

 

PVH CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

67,999

 

 

 

7,548,569

 

 

 

PZENA INVESTMENT MANAGM CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,300

 

 

 

44,820

 

 

 

QAD INC A

 

COMMON STOCK

 

UNITED STATES

 

5,918

 

 

 

85,219

 

 

 

QLIK TECHNOLOGIES INC

 

COMMON STOCK

 

UNITED STATES

 

71,900

 

 

 

1,561,668

 

 

 

QLOGIC CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

99,500

 

 

 

968,135

 

 

 

QUAD GRAPHICS INC

 

COMMON STOCK USD.025

 

UNITED STATES

 

23,300

 

 

 

475,087

 

 

 

QUAKER CHEMICAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

12,800

 

 

 

689,408

 

 

94



Table of Contents

 

 

 

QUALITY DISTRIBUTION INC

 

COMMON STOCK NPV

 

UNITED STATES

 

20,500

 

 

 

123,000

 

 

 

QUALITY SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,800

 

 

 

673,568

 

 

 

QUANEX BUILDING PRODUCTS

 

COMMON STOCK USD.01

 

UNITED STATES

 

42,555

 

 

 

868,548

 

 

 

QUANTUM CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

212,680

 

 

 

263,723

 

 

 

QUESTAR CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

179,500

 

 

 

3,546,920

 

 

 

QUESTCOR PHARMACEUTICALS

 

COMMON STOCK NPV

 

UNITED STATES

 

54,251

 

 

 

1,449,587

 

 

 

QUICKSILVER RESOURCES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

116,357

 

 

 

332,781

 

 

 

QUIDEL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

29,638

 

 

 

553,341

 

 

 

QUIKSILVER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

140,500

 

 

 

597,125

 

 

 

QUINSTREET INC

 

COMMON STOCK

 

UNITED STATES

 

23,700

 

 

 

159,264

 

 

 

RACKSPACE HOSTING INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

104,900

 

 

 

7,790,923

 

 

 

RADIAN GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

145,480

 

 

 

888,883

 

 

 

RADIOSHACK CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

118,700

 

 

 

251,644

 

 

 

RADISYS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

24,150

 

 

 

71,967

 

 

 

RAIT FINANCIAL TRUST

 

REIT USD.01

 

UNITED STATES

 

30,600

 

 

 

172,890

 

 

 

RALCORP HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

54,903

 

 

 

4,922,054

 

 

 

RAMBUS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

106,864

 

 

 

521,496

 

 

 

RAMCO GERSHENSON PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

44,427

 

 

 

591,323

 

 

 

RAPTOR PHARMACEUTICAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

47,000

 

 

 

274,950

 

 

 

RAVEN INDUSTRIES INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

38,082

 

 

 

1,003,842

 

 

 

RAYMOND JAMES FINANCIAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

112,812

 

 

 

4,346,646

 

 

 

RAYONIER INC

 

REIT NPV

 

UNITED STATES

 

118,282

 

 

 

6,130,556

 

 

 

RBC BEARINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,040

 

 

 

1,203,683

 

 

 

REALD INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

35,800

 

 

 

401,318

 

 

 

REALNETWORKS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

24,775

 

 

 

187,299

 

 

 

REALOGY HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,000

 

 

 

2,098,000

 

 

 

REALPAGE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,700

 

 

 

597,489

 

 

 

REALTY INCOME CORP

 

REIT USD1.

 

UNITED STATES

 

130,500

 

 

 

5,247,405

 

 

 

RED LION HOTELS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,058

 

 

 

205,598

 

 

 

RED ROBIN GOURMET BURGERS

 

COMMON STOCK USD.001

 

UNITED STATES

 

13,800

 

 

 

487,002

 

 

 

REDWOOD TRUST INC

 

REIT USD.01

 

UNITED STATES

 

85,200

 

 

 

1,439,028

 

 

 

REGAL BELOIT CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,500

 

 

 

2,783,565

 

 

 

REGAL ENTERTAINMENT GROUP A

 

COMMON STOCK USD.001

 

UNITED STATES

 

86,665

 

 

 

1,208,977

 

 

 

REGENCY CENTERS CORP

 

REIT USD.01

 

UNITED STATES

 

89,680

 

 

 

4,225,722

 

 

 

REGENERON PHARMACEUTICALS

 

COMMON STOCK USD.001

 

UNITED STATES

 

76,300

 

 

 

13,052,641

 

 

 

REGIS CORP

 

COMMON STOCK USD.05

 

UNITED STATES

 

63,740

 

 

 

1,078,481

 

 

 

REINSURANCE GROUP OF AMERICA

 

COMMON STOCK USD.01

 

UNITED STATES

 

73,675

 

 

 

3,943,086

 

 

 

RELIANCE STEEL + ALUMINUM

 

COMMON STOCK NPV

 

UNITED STATES

 

73,486

 

 

 

4,563,481

 

 

 

RENASANT CORP

 

COMMON STOCK USD5.

 

UNITED STATES

 

28,675

 

 

 

548,840

 

 

 

RENT A CENTER INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

61,750

 

 

 

2,121,730

 

 

 

RENTECH INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

265,900

 

 

 

699,317

 

 

 

RENTRAK CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

13,100

 

 

 

255,319

 

 

 

REPUBLIC AIRWAYS HOLDINGS IN

 

COMMON STOCK USD.001

 

UNITED STATES

 

34,223

 

 

 

194,387

 

 

 

REPUBLIC BANCORP INC CLASS A

 

COMMON STOCK NPV

 

UNITED STATES

 

9,490

 

 

 

200,524

 

 

 

RESMED INC

 

COMMON STOCK USD.004

 

UNITED STATES

 

137,664

 

 

 

5,722,692

 

 

 

RESOLUTE ENERGY CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

44,900

 

 

 

365,037

 

 

 

RESOURCE AMERICA INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

3,300

 

 

 

22,011

 

 

 

RESOURCE CAPITAL CORP

 

REIT USD.001

 

UNITED STATES

 

91,270

 

 

 

511,112

 

 

 

RESOURCES CONNECTION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

46,300

 

 

 

552,822

 

 

 

RESPONSYS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

30,300

 

 

 

180,588

 

 

 

RETAIL OPPORTUNITY INVESTMEN

 

REIT USD.0001

 

UNITED STATES

 

56,200

 

 

 

722,732

 

 

 

RETAIL PROPERTIES OF AME A

 

REIT USD.001

 

UNITED STATES

 

77,500

 

 

 

927,675

 

 

 

REVLON INC CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,400

 

 

 

165,300

 

 

 

REX AMERICAN RESOURCES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,400

 

 

 

162,036

 

 

 

REX ENERGY CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

33,330

 

 

 

433,957

 

 

 

REXNORD CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,400

 

 

 

541,020

 

 

 

RF MICRO DEVICES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

269,716

 

 

 

1,208,328

 

 

 

RICHARDSON ELEC LTD

 

COMMON STOCK USD.05

 

UNITED STATES

 

13,500

 

 

 

152,820

 

 

 

RIGEL PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

65,663

 

 

 

426,810

 

 

 

RIGNET INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

2,600

 

 

 

53,118

 

 

 

RITE AID CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

622,400

 

 

 

846,464

 

 

 

RIVERBED TECHNOLOGY INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

159,411

 

 

 

3,143,578

 

 

 

RLI CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

20,700

 

 

 

1,338,462

 

 

 

RLJ LODGING TRUST

 

REIT

 

UNITED STATES

 

101,200

 

 

 

1,960,244

 

 

 

ROADRUNNER TRANSPORTATION SY

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,800

 

 

 

195,912

 

 

 

ROBBINS + MYERS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

39,640

 

 

 

2,356,598

 

 

 

ROCHESTER MEDICAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

1,700

 

 

 

17,136

 

 

 

ROCK TENN COMPANY CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

70,179

 

 

 

4,906,214

 

 

 

ROCKVILLE FINANCIAL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

34,647

 

 

 

446,946

 

 

 

ROCKWELL MEDICAL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

16,000

 

 

 

128,800

 

 

 

ROCKWOOD HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

70,400

 

 

 

3,481,984

 

 

 

ROFIN SINAR TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,040

 

 

 

694,627

 

 

 

ROGERS CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

16,000

 

 

 

794,560

 

 

 

ROLLINS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

65,337

 

 

 

1,440,027

 

 

 

ROMA FINANCIAL CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

11,300

 

 

 

170,856

 

 

 

ROSETTA RESOURCES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

52,100

 

 

 

2,363,256

 

 

 

ROSETTA STONE INC

 

COMMON STOCK USD.00005

 

UNITED STATES

 

6,500

 

 

 

80,210

 

 

 

ROUNDY S INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

19,200

 

 

 

85,440

 

 

 

ROUSE PROPERTIES INC

 

REIT

 

UNITED STATES

 

21,312

 

 

 

360,599

 

 

 

ROVI CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

113,672

 

 

 

1,753,959

 

 

 

ROYAL CARIBBEAN CRUISES LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

150,403

 

 

 

5,113,702

 

 

 

ROYAL GOLD INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,800

 

 

 

5,187,578

 

 

 

RPC INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

66,493

 

 

 

813,874

 

 

 

RPM INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

130,147

 

 

 

3,821,116

 

 

 

RPX CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

10,800

 

 

 

97,632

 

 

 

RR DONNELLEY + SONS CO

 

COMMON STOCK USD1.25

 

UNITED STATES

 

176,900

 

 

 

1,592,100

 

 

 

RTI BIOLOGICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

55,300

 

 

 

236,131

 

 

 

RTI INTERNATIONAL METALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,400

 

 

 

892,944

 

 

 

RUBICON TECHNOLOGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

12,600

 

 

 

76,986

 

 

 

RUBY TUESDAY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

78,300

 

 

 

615,438

 

 

 

RUDOLPH TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,906

 

 

 

388,786

 

 

 

RUE21 INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

12,600

 

 

 

357,714

 

 

 

RUSH ENTERPRISES INC CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,322

 

 

 

750,776

 

 

 

RUSSELL 2000 MINI INDEX FTRS

 

MAR13 ICUS

 

UNITED STATES

 

19,000

 

 

 

462,291

 

 

 

RUTH S HOSPITALITY GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

23,464

 

 

 

170,583

 

 

 

RYLAND GROUP INC/THE

 

COMMON STOCK USD1.

 

UNITED STATES

 

48,900

 

 

 

1,784,850

 

 

 

RYMAN HOSPITALITY PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

37,078

 

 

 

1,426,025

 

 

 

S + T BANCORP INC

 

COMMON STOCK USD2.5

 

UNITED STATES

 

29,200

 

 

 

527,644

 

 

 

S.Y. BANCORP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

15,710

 

 

 

352,218

 

 

 

S+P MIDCAP 400 EMINI IDX FTRS

 

MAR13 XIOM

 

UNITED STATES

 

25,100

 

 

 

376,020

 

 

 

SABA SOFTWARE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,500

 

 

 

231,610

 

 

 

SABRA HEALTH CARE REIT INC

 

REIT USD.01

 

UNITED STATES

 

35,609

 

 

 

773,427

 

 

 

SAFEGUARD SCIENTIFICS INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

25,306

 

 

 

373,264

 

 

 

SAFETY INSURANCE GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

13,900

 

 

 

641,763

 

 

 

SAGENT PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,000

 

 

 

96,540

 

 

 

SAIA INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

16,250

 

 

 

375,700

 

 

 

SAKS INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

118,650

 

 

 

1,247,012

 

 

 

SALIX PHARMACEUTICALS LTD

 

COMMON STOCK USD.001

 

UNITED STATES

 

59,963

 

 

 

2,427,302

 

 

 

SALLY BEAUTY HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

149,217

 

 

 

3,517,045

 

 

 

SANCHEZ ENERGY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,000

 

 

 

180,000

 

 

 

SANDERSON FARMS INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

23,550

 

 

 

1,119,803

 

 

 

SANDRIDGE ENERGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

469,578

 

 

 

2,981,820

 

 

95



Table of Contents

 

 

 

SANDY SPRING BANCORP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

25,150

 

 

 

488,413

 

 

 

SANGAMO BIOSCIENCES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,400

 

 

 

314,924

 

 

 

SANMINA CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

86,800

 

 

 

960,876

 

 

 

SANTARUS INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

59,800

 

 

 

656,604

 

 

 

SAPIENT CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

110,200

 

 

 

1,163,712

 

 

 

SAUER DANFOSS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,500

 

 

 

613,755

 

 

 

SAUL CENTERS INC

 

REIT USD.01

 

UNITED STATES

 

8,835

 

 

 

378,050

 

 

 

SBA COMMUNICATIONS CORP CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

117,371

 

 

 

8,335,688

 

 

 

SCANSOURCE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

29,400

 

 

 

934,038

 

 

 

SCBT FINANCIAL CORP

 

COMMON STOCK USD2.5

 

UNITED STATES

 

15,557

 

 

 

625,080

 

 

 

SCHAWK INC

 

COMMON STOCK USD.008

 

UNITED STATES

 

13,800

 

 

 

181,608

 

 

 

SCHNITZER STEEL INDS INC A

 

COMMON STOCK USD1.

 

UNITED STATES

 

24,734

 

 

 

750,182

 

 

 

SCHOLASTIC CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,600

 

 

 

786,296

 

 

 

SCHULMAN (A.) INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

34,536

 

 

 

999,126

 

 

 

SCHWEITZER MAUDUIT INTL INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

32,110

 

 

 

1,253,253

 

 

 

SCICLONE PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

37,000

 

 

 

159,470

 

 

 

SCIENTIFIC GAMES CORP A

 

COMMON STOCK USD.01

 

UNITED STATES

 

69,787

 

 

 

605,053

 

 

 

SCIQUEST INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

10,900

 

 

 

172,874

 

 

 

SCORE BRD INC

 

COM NEW

 

UNITED STATES

 

137

 

 

 

0

 

 

 

SCOTTS MIRACLE GRO CO CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,320

 

 

 

1,952,296

 

 

 

SEABOARD CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

345

 

 

 

872,809

 

 

 

SEABRIGHT HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

22,120

 

 

 

244,868

 

 

 

SEACHANGE INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,700

 

 

 

335,549

 

 

 

SEACOAST BANKING CORP/FL

 

COMMON STOCK USD.1

 

UNITED STATES

 

87,200

 

 

 

140,392

 

 

 

SEACOR HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,762

 

 

 

1,739,856

 

 

 

SEACUBE CONTAINER LEASING LT

 

COMMON STOCK USD.01

 

UNITED STATES

 

7,700

 

 

 

145,145

 

 

 

SEALY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,900

 

 

 

88,753

 

 

 

SEARS HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,700

 

 

 

1,476,552

 

 

 

SEATTLE GENETICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

96,724

 

 

 

2,243,997

 

 

 

SEI INVESTMENTS COMPANY

 

COMMON STOCK USD.01

 

UNITED STATES

 

133,344

 

 

 

3,112,249

 

 

 

SELECT COMFORT CORPORATION

 

COMMON STOCK USD.01

 

UNITED STATES

 

55,500

 

 

 

1,452,435

 

 

 

SELECT MEDICAL HOLDINGS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

44,800

 

 

 

422,464

 

 

 

SELECTIVE INSURANCE GROUP

 

COMMON STOCK USD2.

 

UNITED STATES

 

60,358

 

 

 

1,163,099

 

 

 

SEMGROUP CORP CLASS A

 

COMMON STOCK

 

UNITED STATES

 

38,400

 

 

 

1,500,672

 

 

 

SEMTECH CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

65,900

 

 

 

1,907,805

 

 

 

SENECA FOODS CORP CL A

 

COMMON STOCK USD.25

 

UNITED STATES

 

10,100

 

 

 

307,040

 

 

 

SENIOR HOUSING PROP TRUST

 

REIT USD.01

 

UNITED STATES

 

162,290

 

 

 

3,836,536

 

 

 

SENSIENT TECHNOLOGIES CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

52,200

 

 

 

1,856,232

 

 

 

SEQUENOM INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

96,222

 

 

 

454,168

 

 

 

SERVICE CORP INTERNATIONAL

 

COMMON STOCK USD1.

 

UNITED STATES

 

219,469

 

 

 

3,030,867

 

 

 

SERVICENOW INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,300

 

 

 

429,429

 

 

 

SERVICESOURCE INTERNATIONAL

 

COMMON STOCK

 

UNITED STATES

 

44,300

 

 

 

259,155

 

 

 

SHAW GROUP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

68,305

 

 

 

3,183,696

 

 

 

SHENANDOAH TELECOMMUNICATION

 

COMMON STOCK NPV

 

UNITED STATES

 

26,200

 

 

 

401,122

 

 

 

SHFL ENTERTAINMENT INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

61,125

 

 

 

886,313

 

 

 

SHILOH INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

7,100

 

 

 

73,130

 

 

 

SHOE CARNIVAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,200

 

 

 

331,938

 

 

 

SHORETEL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

46,400

 

 

 

196,736

 

 

 

SHUTTERFLY INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

28,993

 

 

 

866,021

 

 

 

SIERRA BANCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

12,800

 

 

 

146,304

 

 

 

SIFCO INDUSTRIES

 

COMMON STOCK USD1.

 

UNITED STATES

 

500

 

 

 

7,875

 

 

 

SIGA TECHNOLOGIES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

30,900

 

 

 

80,958

 

 

 

SIGMA DESIGNS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

36,816

 

 

 

189,602

 

 

 

SIGNATURE BANK

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,200

 

 

 

3,224,568

 

 

 

SILGAN HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,200

 

 

 

1,963,048

 

 

 

SILICON GRAPHICS INTERNATION

 

COMMON STOCK USD.001

 

UNITED STATES

 

30,400

 

 

 

310,992

 

 

 

SILICON IMAGE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

91,000

 

 

 

451,360

 

 

 

SILICON LABORATORIES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

42,900

 

 

 

1,793,649

 

 

 

SIMMONS FIRST NATL CORP CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,900

 

 

 

530,024

 

 

 

SIMPSON MANUFACTURING CO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,100

 

 

 

1,413,249

 

 

 

SINCLAIR BROADCAST GROUP A

 

COMMON STOCK USD.01

 

UNITED STATES

 

52,896

 

 

 

667,548

 

 

 

SIRIUS XM RADIO INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

3,741,700

 

 

 

10,813,513

 

 

 

SIRONA DENTAL SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

56,800

 

 

 

3,661,328

 

 

 

SIX FLAGS ENTERTAINMENT CORP

 

COMMON STOCK

 

UNITED STATES

 

37,700

 

 

 

2,307,240

 

 

 

SJW CORP

 

COMMON STOCK USD1.042

 

UNITED STATES

 

15,067

 

 

 

400,782

 

 

 

SKECHERS USA INC CL A

 

COMMON STOCK USD.001

 

UNITED STATES

 

38,200

 

 

 

706,700

 

 

 

SKILLED HEALTHCARE GROU CL A

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,576

 

 

 

175,659

 

 

 

SKYWEST INC

 

COMMON STOCK NPV

 

UNITED STATES

 

60,666

 

 

 

755,898

 

 

 

SKYWORKS SOLUTIONS INC

 

COMMON STOCK USD.25

 

UNITED STATES

 

186,135

 

 

 

3,778,541

 

 

 

SL GREEN REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

89,915

 

 

 

6,891,985

 

 

 

SM ENERGY CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,900

 

 

 

3,336,219

 

 

 

SMITH (A.O.) CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

38,442

 

 

 

2,424,537

 

 

 

SMITH + WESSON HOLDING CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

64,100

 

 

 

541,004

 

 

 

SMITHFIELD FOODS INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

156,892

 

 

 

3,384,160

 

 

 

SNYDERS LANCE INC

 

COMMON STOCK USD.833

 

UNITED STATES

 

43,600

 

 

 

1,051,196

 

 

 

SOLAR CAPITAL LTD

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,317

 

 

 

916,159

 

 

 

SOLARWINDS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

58,200

 

 

 

3,052,590

 

 

 

SOLAZYME INC

 

COMMON STOCK

 

UNITED STATES

 

10,800

 

 

 

84,888

 

 

 

SOLERA HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

70,400

 

 

 

3,764,288

 

 

 

SOLTA MEDICAL INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

60,500

 

 

 

161,535

 

 

 

SONIC AUTOMOTIVE INC CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,700

 

 

 

808,443

 

 

 

SONIC CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

67,133

 

 

 

698,855

 

 

 

SONOCO PRODUCTS CO

 

COMMON STOCK NPV

 

UNITED STATES

 

101,520

 

 

 

3,018,190

 

 

 

SONUS NETWORKS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

235,515

 

 

 

400,376

 

 

 

SOTHEBY S

 

COMMON STOCK USD.01

 

UNITED STATES

 

69,000

 

 

 

2,319,780

 

 

 

SOURCEFIRE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

29,300

 

 

 

1,383,546

 

 

 

SOUTH JERSEY INDUSTRIES

 

COMMON STOCK USD1.25

 

UNITED STATES

 

31,300

 

 

 

1,575,329

 

 

 

SOUTHERN COPPER CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

158,803

 

 

 

6,012,282

 

 

 

SOUTHSIDE BANCSHARES INC

 

COMMON STOCK USD1.25

 

UNITED STATES

 

18,135

 

 

 

381,923

 

 

 

SOUTHWEST BANCORP INC/OKLA

 

COMMON STOCK USD1.

 

UNITED STATES

 

21,400

 

 

 

239,680

 

 

 

SOUTHWEST GAS CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

46,800

 

 

 

1,984,788

 

 

 

SOVRAN SELF STORAGE INC

 

REIT USD.01

 

UNITED STATES

 

28,202

 

 

 

1,751,344

 

 

 

SPANSION INC CLASS A

 

COMMON STOCK USD.001

 

UNITED STATES

 

46,200

 

 

 

642,642

 

 

 

SPARTAN MOTORS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,450

 

 

 

169,839

 

 

 

SPARTAN STORES INC

 

COMMON STOCK NPV

 

UNITED STATES

 

24,258

 

 

 

372,603

 

 

 

SPARTECH CORP

 

COMMON STOCK USD.75

 

UNITED STATES

 

31,725

 

 

 

287,746

 

 

 

SPECTRANETICS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

36,134

 

 

 

533,699

 

 

 

SPECTRUM BRANDS HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,300

 

 

 

732,359

 

 

 

SPECTRUM PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

57,539

 

 

 

643,861

 

 

 

SPEEDWAY MOTORSPORTS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

14,400

 

 

 

256,896

 

 

 

SPIRIT AEROSYSTEMS HOLD CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

118,130

 

 

 

2,004,666

 

 

 

SPIRIT AIRLINES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

37,800

 

 

 

669,816

 

 

 

SPIRIT REALTY CAPITAL INC

 

REIT USD.01

 

UNITED STATES

 

37,100

 

 

 

659,638

 

 

 

SPLUNK INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

13,500

 

 

 

391,770

 

 

 

SPS COMMERCE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

5,900

 

 

 

219,893

 

 

 

SPX CORP

 

COMMON STOCK USD10.

 

UNITED STATES

 

49,886

 

 

 

3,499,503

 

 

 

SS+C TECHNOLOGIES HOLDINGS

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,700

 

 

 

686,664

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

UNITED STATES

 

43,029,751

 

 

 

43,029,751

 

 

 

ST JOE CO/THE

 

COMMON STOCK NPV

 

UNITED STATES

 

67,900

 

 

 

1,567,132

 

 

 

STAAR SURGICAL CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

44,200

 

 

 

269,620

 

 

 

STAG INDUSTRIAL INC

 

REIT USD.01

 

UNITED STATES

 

17,200

 

 

 

309,084

 

 

 

STAGE STORES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,248

 

 

 

873,445

 

 

96



Table of Contents

 

 

 

STAMPS.COM INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

7,650

 

 

 

192,780

 

 

 

STANCORP FINANCIAL GROUP

 

COMMON STOCK NPV

 

UNITED STATES

 

44,400

 

 

 

1,628,148

 

 

 

STANDARD MOTOR PRODS

 

COMMON STOCK USD2.

 

UNITED STATES

 

25,800

 

 

 

573,276

 

 

 

STANDARD PACIFIC CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

118,563

 

 

 

871,438

 

 

 

STANDARD PARKING CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

20,100

 

 

 

441,999

 

 

 

STANDEX INTERNATIONAL CORP

 

COMMON STOCK USD1.5

 

UNITED STATES

 

15,000

 

 

 

769,350

 

 

 

STAR SCIENTIFIC INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

142,400

 

 

 

381,632

 

 

 

STARWOOD PROPERTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

132,400

 

 

 

3,039,904

 

 

 

STARZ LIBERTY CAPITAL

 

COMMON STOCK USD.01

 

UNITED STATES

 

105,968

 

 

 

12,293,348

 

 

 

STATE AUTO FINANCIAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

15,800

 

 

 

236,052

 

 

 

STATE BANK FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,400

 

 

 

450,992

 

 

 

STEC INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

43,800

 

 

 

215,934

 

 

 

STEEL DYNAMICS INC

 

COMMON STOCK USD.005

 

UNITED STATES

 

222,000

 

 

 

3,048,060

 

 

 

STEELCASE INC CL A

 

COMMON STOCK NPV

 

UNITED STATES

 

84,790

 

 

 

1,080,225

 

 

 

STEIN MART INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,600

 

 

 

208,104

 

 

 

STEINWAY MUSICAL INSTRUMENTS

 

COMMON STOCK USD.001

 

UNITED STATES

 

7,594

 

 

 

160,613

 

 

 

STELLARONE CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

21,600

 

 

 

305,424

 

 

 

STEPAN CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

18,832

 

 

 

1,045,929

 

 

 

STERIS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

61,000

 

 

 

2,118,530

 

 

 

STERLING BANCORP N Y

 

COMMON STOCK USD1.

 

UNITED STATES

 

32,412

 

 

 

295,273

 

 

 

STERLING CONSTRUCTION CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,450

 

 

 

163,513

 

 

 

STERLING FINL CORP/SPOKANE

 

COMMON STOCK USD1.

 

UNITED STATES

 

23,900

 

 

 

499,032

 

 

 

STEVEN MADDEN LTD

 

COMMON STOCK USD.0001

 

UNITED STATES

 

39,075

 

 

 

1,651,700

 

 

 

STEWART ENTERPRISES INC CL A

 

COMMON STOCK USD1.

 

UNITED STATES

 

88,366

 

 

 

675,116

 

 

 

STEWART INFORMATION SERVICES

 

COMMON STOCK USD1.

 

UNITED STATES

 

21,500

 

 

 

559,000

 

 

 

STIFEL FINANCIAL CORP

 

COMMON STOCK USD.15

 

UNITED STATES

 

54,673

 

 

 

1,747,896

 

 

 

STILLWATER MINING CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

122,343

 

 

 

1,563,544

 

 

 

STONE ENERGY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,472

 

 

 

1,035,685

 

 

 

STONERIDGE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

15,800

 

 

 

80,896

 

 

 

STR HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

24,800

 

 

 

62,496

 

 

 

STRATASYS LTD

 

COMMON STOCK

 

UNITED STATES

 

30,000

 

 

 

2,404,500

 

 

 

STRATEGIC HOTELS + RESORTS I

 

REIT USD.01

 

UNITED STATES

 

191,300

 

 

 

1,224,320

 

 

 

STRAYER EDUCATION INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,500

 

 

 

702,125

 

 

 

STURM RUGER + CO INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

19,100

 

 

 

867,140

 

 

 

SUCAMPO PHARMACEUTICALS CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

4,200

 

 

 

20,580

 

 

 

SUFFOLK BANCORP

 

COMMON STOCK USD2.5

 

UNITED STATES

 

9,800

 

 

 

128,380

 

 

 

SUMMIT HOTEL PROPERTIES INC

 

REIT

 

UNITED STATES

 

15,500

 

 

 

147,250

 

 

 

SUN BANCORP INC NJ

 

COMMON STOCK USD1.

 

UNITED STATES

 

6,000

 

 

 

21,240

 

 

 

SUN COMMUNITIES INC

 

REIT USD.01

 

UNITED STATES

 

26,600

 

 

 

1,061,074

 

 

 

SUN HYDRAULICS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,900

 

 

 

518,992

 

 

 

SUNCOKE ENERGY INC

 

COMMON STOCK

 

UNITED STATES

 

70,660

 

 

 

1,101,589

 

 

 

SUNPOWER CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,785

 

 

 

156,152

 

 

 

SUNRISE SENIOR LIVING INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,500

 

 

 

826,850

 

 

 

SUNSTONE HOTEL INVESTORS INC

 

REIT USD.01

 

UNITED STATES

 

121,482

 

 

 

1,301,072

 

 

 

SUPER MICRO COMPUTER INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

24,300

 

 

 

247,860

 

 

 

SUPERIOR ENERGY SERVICES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

161,070

 

 

 

3,337,370

 

 

 

SUPERIOR INDUSTRIES INTL

 

COMMON STOCK NPV

 

UNITED STATES

 

28,500

 

 

 

581,400

 

 

 

SUPERTEX INC

 

COMMON STOCK NPV

 

UNITED STATES

 

11,398

 

 

 

200,035

 

 

 

SUPERVALU INC W/D

 

COMMON STOCK USD.01

 

UNITED STATES

 

234,100

 

 

 

578,227

 

 

 

SUPPORT.COM INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

46,100

 

 

 

192,698

 

 

 

SURMODICS INC

 

COMMON STOCK USD.05

 

UNITED STATES

 

16,825

 

 

 

376,207

 

 

 

SUSQUEHANNA BANCSHARES INC

 

COMMON STOCK USD2.

 

UNITED STATES

 

188,869

 

 

 

1,979,347

 

 

 

SUSSER HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,000

 

 

 

275,920

 

 

 

SVB FINANCIAL GROUP

 

COMMON STOCK USD.001

 

UNITED STATES

 

43,000

 

 

 

2,406,710

 

 

 

SWIFT ENERGY CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

43,550

 

 

 

670,235

 

 

 

SWIFT TRANSPORTATION CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

78,900

 

 

 

719,568

 

 

 

SWISHER HYGIENE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

75,600

 

 

 

132,300

 

 

 

SWS GROUP INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

28,309

 

 

 

149,755

 

 

 

SYCAMORE NETWORKS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,830

 

 

 

44,419

 

 

 

SYKES ENTERPRISES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,443

 

 

 

691,642

 

 

 

SYMETRA FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

62,000

 

 

 

804,760

 

 

 

SYMMETRICOM INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

48,500

 

 

 

279,845

 

 

 

SYMMETRY MEDICAL INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

36,145

 

 

 

380,245

 

 

 

SYNAGEVA BIOPHARMA CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

7,500

 

 

 

347,175

 

 

 

SYNAPTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

31,500

 

 

 

944,055

 

 

 

SYNCHRONOSS TECHNOLOGIES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

26,900

 

 

 

567,321

 

 

 

SYNNEX CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,000

 

 

 

893,880

 

 

 

SYNOPSYS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

144,247

 

 

 

4,592,824

 

 

 

SYNOVUS FINANCIAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

822,923

 

 

 

2,016,161

 

 

 

SYNTA PHARMACEUTICALS CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

16,700

 

 

 

150,634

 

 

 

SYNTEL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

15,400

 

 

 

825,286

 

 

 

SYNUTRA INTERNATIONAL INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

19,399

 

 

 

89,817

 

 

 

SYPRIS SOLUTIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,868

 

 

 

35,117

 

 

 

SYSTEMAX INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,600

 

 

 

102,290

 

 

 

T.G.C. INDUSTRIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

2,300

 

 

 

18,837

 

 

 

TAHOE RESOURCES INC

 

COMMON STOCK

 

UNITED STATES

 

75,800

 

 

 

1,388,656

 

 

 

TAKE TWO INTERACTIVE SOFTWRE

 

COMMON STOCK USD.01

 

UNITED STATES

 

78,750

 

 

 

867,038

 

 

 

TAL INTERNATIONAL GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

23,785

 

 

 

865,298

 

 

 

TANGER FACTORY OUTLET CENTER

 

REIT USD.01

 

UNITED STATES

 

91,792

 

 

 

3,139,286

 

 

 

TANGOE INC/CT

 

COMMON STOCK USD.0001

 

UNITED STATES

 

26,500

 

 

 

314,555

 

 

 

TARGA RESOURCES CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,000

 

 

 

1,479,520

 

 

 

TARGACEPT INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

22,400

 

 

 

98,112

 

 

 

TASER INTERNATIONAL INC

 

COMMON STOCK USD.00001

 

UNITED STATES

 

63,100

 

 

 

564,114

 

 

 

TAUBMAN CENTERS INC

 

REIT USD.01

 

UNITED STATES

 

59,100

 

 

 

4,652,352

 

 

 

TAYLOR CAPITAL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

10,270

 

 

 

185,374

 

 

 

TCF FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

161,775

 

 

 

1,965,566

 

 

 

TD AMERITRADE HOLDING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

227,976

 

 

 

3,832,277

 

 

 

TEAM HEALTH HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,800

 

 

 

857,346

 

 

 

TEAM INC

 

COMMON STOCK USD.3

 

UNITED STATES

 

20,580

 

 

 

782,863

 

 

 

TEAVANA HOLDINGS INC

 

COMMON STOCK USD.00003

 

UNITED STATES

 

8,500

 

 

 

131,750

 

 

 

TECH DATA CORP

 

COMMON STOCK USD.0015

 

UNITED STATES

 

37,775

 

 

 

1,719,896

 

 

 

TECHNE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,600

 

 

 

2,569,584

 

 

 

TEJON RANCH CO

 

COMMON STOCK USD.5

 

UNITED STATES

 

15,384

 

 

 

431,983

 

 

 

TELEDYNE TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,837

 

 

 

2,331,914

 

 

 

TELEFLEX INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

41,276

 

 

 

2,943,392

 

 

 

TELENAV INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

18,400

 

 

 

146,832

 

 

 

TELEPHONE AND DATA SYSTEMS

 

COMMON STOCK USD.01

 

UNITED STATES

 

99,195

 

 

 

2,196,177

 

 

 

TELETECH HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

25,200

 

 

 

448,560

 

 

 

TELLABS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

375,700

 

 

 

856,596

 

 

 

TELULAR CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

1,900

 

 

 

17,993

 

 

 

TEMPUR PEDIC INTERNATIONAL

 

COMMON STOCK USD.01

 

UNITED STATES

 

58,229

 

 

 

1,833,631

 

 

 

TENNANT CO

 

COMMON STOCK USD.375

 

UNITED STATES

 

21,100

 

 

 

927,345

 

 

 

TENNECO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

61,382

 

 

 

2,155,122

 

 

 

TEREX CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

111,400

 

 

 

3,131,454

 

 

 

TERRENO REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

13,300

 

 

 

205,352

 

 

 

TERRITORIAL BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,800

 

 

 

292,480

 

 

 

TESCO CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

24,900

 

 

 

283,611

 

 

 

TESLA MOTORS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

69,200

 

 

 

2,343,804

 

 

 

TESSCO TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

700

 

 

 

15,498

 

 

 

TESSERA TECHNOLOGIES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

57,209

 

 

 

939,372

 

 

 

TETRA TECH INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

62,283

 

 

 

1,647,385

 

 

 

TETRA TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

81,605

 

 

 

619,382

 

 

97



Table of Contents

 

 

 

TEXAS CAPITAL BANCSHARES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,825

 

 

 

1,829,777

 

 

 

TEXAS INDUSTRIES INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

22,363

 

 

 

1,140,737

 

 

 

TEXAS ROADHOUSE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

63,115

 

 

 

1,060,332

 

 

 

TFS FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

77,800

 

 

 

748,436

 

 

 

THERAVANCE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

61,400

 

 

 

1,367,378

 

 

 

THERMON GROUP HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

9,700

 

 

 

218,541

 

 

 

THOMSON REUTERS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

360,500

 

 

 

10,476,130

 

 

 

THOR INDUSTRIES INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

46,200

 

 

 

1,729,266

 

 

 

THORATEC CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

59,383

 

 

 

2,228,050

 

 

 

THRESHOLD PHARMACEUTICALS

 

COMMON STOCK USD.001

 

UNITED STATES

 

35,400

 

 

 

149,034

 

 

 

TIBCO SOFTWARE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

159,000

 

 

 

3,499,590

 

 

 

TICC CAPITAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

37,828

 

 

 

382,819

 

 

 

TIDEWATER INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

50,535

 

 

 

2,257,904

 

 

 

TIMKEN CO

 

COMMON STOCK NPV

 

UNITED STATES

 

88,975

 

 

 

4,255,674

 

 

 

TITAN INTERNATIONAL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

44,500

 

 

 

966,540

 

 

 

TITAN MACHINERY INC

 

COMMON STOCK USD.00001

 

UNITED STATES

 

16,681

 

 

 

412,021

 

 

 

TITANIUM METALS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

76,600

 

 

 

1,264,666

 

 

 

TIVO INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

121,600

 

 

 

1,498,112

 

 

 

TMS INTERNATIONAL CORP A

 

COMMON STOCK USD.001

 

UNITED STATES

 

11,500

 

 

 

143,980

 

 

 

TNS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,600

 

 

 

551,418

 

 

 

TOLL BROTHERS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

141,500

 

 

 

4,574,695

 

 

 

TOMPKINS FINANCIAL CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

10,587

 

 

 

419,669

 

 

 

TOOTSIE ROLL INDS

 

COMMON STOCK USD.694

 

UNITED STATES

 

24,808

 

 

 

643,023

 

 

 

TORO CO

 

COMMON STOCK USD1.

 

UNITED STATES

 

60,756

 

 

 

2,611,293

 

 

 

TOWER GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,509

 

 

 

648,765

 

 

 

TOWERS WATSON + CO CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

57,900

 

 

 

3,254,559

 

 

 

TOWERSTREAM CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,250

 

 

 

91,813

 

 

 

TOWN SPORTS INTERNATIONAL

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,900

 

 

 

211,935

 

 

 

TOWNE BANK

 

COMMON STOCK USD1.667

 

UNITED STATES

 

25,750

 

 

 

398,868

 

 

 

TRACTOR SUPPLY COMPANY

 

COMMON STOCK USD.008

 

UNITED STATES

 

71,922

 

 

 

6,355,028

 

 

 

TRANSDIGM GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,700

 

 

 

6,913,452

 

 

 

TRAVELZOO INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,000

 

 

 

113,940

 

 

 

TRC COS INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

7,900

 

 

 

45,978

 

 

 

TREASURY BILL

 

0.14% 07 Feb 2013

 

UNITED STATES

 

650,000

 

 

 

649,907

 

 

 

TREASURY BILL

 

0.01% 07 Mar 2013

 

UNITED STATES

 

450,000

 

 

 

449,958

 

 

 

TREASURY BILL

 

0.01% 03 Jan 2013

 

UNITED STATES

 

1,432,000

 

 

 

1,431,692

 

 

 

TREDEGAR CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

27,946

 

 

 

570,657

 

 

 

TREEHOUSE FOODS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

35,784

 

 

 

1,865,420

 

 

 

TREX COMPANY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,541

 

 

 

653,051

 

 

 

TRIANGLE CAPITAL CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

29,032

 

 

 

740,034

 

 

 

TRIANGLE PETROLEUM CORP

 

COMMON STOCK USD.00001

 

UNITED STATES

 

42,200

 

 

 

252,778

 

 

 

TRICO BANCSHARES

 

COMMON STOCK NPV

 

UNITED STATES

 

15,800

 

 

 

264,650

 

 

 

TRIMAS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,600

 

 

 

743,736

 

 

 

TRIMBLE NAVIGATION LTD

 

COMMON STOCK NPV

 

UNITED STATES

 

124,385

 

 

 

7,435,735

 

 

 

TRINITY INDUSTRIES INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

80,900

 

 

 

2,897,838

 

 

 

TRIQUINT SEMICONDUCTOR INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

163,170

 

 

 

789,743

 

 

 

TRIUMPH GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

48,700

 

 

 

3,180,110

 

 

 

TRUE RELIGION APPAREL INC

 

COMMON STOCK USD.00001

 

UNITED STATES

 

26,200

 

 

 

666,004

 

 

 

TRUEBLUE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

46,028

 

 

 

724,941

 

 

 

TRUSTCO BANK CORP NY

 

COMMON STOCK USD1.

 

UNITED STATES

 

93,433

 

 

 

493,326

 

 

 

TRUSTMARK CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

64,282

 

 

 

1,443,774

 

 

 

TRW AUTOMOTIVE HOLDINGS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

98,551

 

 

 

5,283,319

 

 

 

TTM TECHNOLOGIES

 

COMMON STOCK USD.001

 

UNITED STATES

 

52,768

 

 

 

485,466

 

 

 

TUESDAY MORNING CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

30,950

 

 

 

193,438

 

 

 

TUMI HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,100

 

 

 

377,385

 

 

 

TUPPERWARE BRANDS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

56,300

 

 

 

3,608,830

 

 

 

TUTOR PERINI CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

26,649

 

 

 

365,091

 

 

 

TW TELECOM INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

147,400

 

 

 

3,754,278

 

 

 

TWIN DISC INC

 

COMMON STOCK NPV

 

UNITED STATES

 

8,900

 

 

 

155,127

 

 

 

TWO HARBORS INVESTMENT CORP

 

REIT

 

UNITED STATES

 

273,600

 

 

 

3,031,488

 

 

 

TYLER TECHNOLOGIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,614

 

 

 

1,434,502

 

 

 

U.S. PHYSICAL THERAPY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

12,900

 

 

 

355,266

 

 

 

UBIQUITI NETWORKS INC

 

COMMON STOCK

 

UNITED STATES

 

12,400

 

 

 

150,536

 

 

 

UDR INC

 

REIT USD.01

 

UNITED STATES

 

239,694

 

 

 

5,699,923

 

 

 

UGI CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

112,100

 

 

 

3,666,791

 

 

 

UIL HOLDINGS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

51,033

 

 

 

1,827,492

 

 

 

ULTA SALON COSMETICS + FRAGR

 

COMMON STOCK USD.01

 

UNITED STATES

 

60,800

 

 

 

5,974,208

 

 

 

ULTIMATE SOFTWARE GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,120

 

 

 

2,560,399

 

 

 

ULTRA CLEAN HOLDINGS

 

COMMON STOCK USD.001

 

UNITED STATES

 

15,400

 

 

 

75,614

 

 

 

ULTRA PETROLEUM CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

157,100

 

 

 

2,848,223

 

 

 

ULTRATECH INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

25,800

 

 

 

962,340

 

 

 

UMB FINANCIAL CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

33,602

 

 

 

1,473,112

 

 

 

UMH PROPERTIES INC

 

REIT USD.1

 

UNITED STATES

 

12,400

 

 

 

128,092

 

 

 

UMPQUA HOLDINGS CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

116,521

 

 

 

1,373,783

 

 

 

UNDER ARMOUR INC CLASS A

 

COMMON STOCK USD.000333

 

UNITED STATES

 

74,098

 

 

 

3,595,976

 

 

 

UNIFI INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

16,200

 

 

 

210,762

 

 

 

UNIFIRST CORP/MA

 

COMMON STOCK USD.1

 

UNITED STATES

 

16,400

 

 

 

1,202,448

 

 

 

UNILIFE CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

38,300

 

 

 

86,941

 

 

 

UNION FIRST MARKET BANKSHARE

 

COMMON STOCK USD1.33

 

UNITED STATES

 

15,600

 

 

 

246,012

 

 

 

UNISYS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

47,140

 

 

 

815,522

 

 

 

UNIT CORP

 

COMMON STOCK USD.2

 

UNITED STATES

 

44,150

 

 

 

1,988,958

 

 

 

UNITED BANKSHARES INC

 

COMMON STOCK USD2.5

 

UNITED STATES

 

50,535

 

 

 

1,229,011

 

 

 

UNITED COMMUNITY BANKS/GA

 

COMMON STOCK USD1.

 

UNITED STATES

 

40,162

 

 

 

378,326

 

 

 

UNITED CONTINENTAL HOLDINGS

 

COMMON STOCK USD.01

 

UNITED STATES

 

325,133

 

 

 

7,601,610

 

 

 

UNITED FINANCIAL BANCORP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,600

 

 

 

276,672

 

 

 

UNITED FIRE GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

24,900

 

 

 

543,816

 

 

 

UNITED NATURAL FOODS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,200

 

 

 

2,636,628

 

 

 

UNITED ONLINE INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

91,610

 

 

 

512,100

 

 

 

UNITED RENTALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,950

 

 

 

4,094,524

 

 

 

UNITED STATES ANTIMONY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,400

 

 

 

14,784

 

 

 

UNITED STATES LIME + MINERAL

 

COMMON STOCK USD.1

 

UNITED STATES

 

2,700

 

 

 

127,224

 

 

 

UNITED STATIONERS INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

42,618

 

 

 

1,320,732

 

 

 

UNITED THERAPEUTICS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,710

 

 

 

2,708,928

 

 

 

UNITIL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

11,300

 

 

 

292,896

 

 

 

UNIVERSAL AMERICAN CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,061

 

 

 

275,404

 

 

 

UNIVERSAL CORP/VA

 

COMMON STOCK NPV

 

UNITED STATES

 

24,766

 

 

 

1,236,071

 

 

 

UNIVERSAL DISPLAY CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,600

 

 

 

1,014,552

 

 

 

UNIVERSAL ELECTRONICS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,300

 

 

 

315,405

 

 

 

UNIVERSAL FOREST PRODUCTS

 

COMMON STOCK NPV

 

UNITED STATES

 

21,200

 

 

 

806,448

 

 

 

UNIVERSAL HEALTH RLTY INCOME

 

REIT USD.01

 

UNITED STATES

 

12,600

 

 

 

637,686

 

 

 

UNIVERSAL HEALTH SERVICES B

 

COMMON STOCK USD.01

 

UNITED STATES

 

88,199

 

 

 

4,264,422

 

 

 

UNIVERSAL INSURANCE HOLDINGS

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,200

 

 

 

70,956

 

 

 

UNIVERSAL STAINLESS + ALLOY

 

COMMON STOCK USD.001

 

UNITED STATES

 

7,400

 

 

 

272,098

 

 

 

UNIVERSAL TECHNICAL INSTITUT

 

COMMON STOCK USD.0001

 

UNITED STATES

 

22,300

 

 

 

223,892

 

 

 

UNIVERSAL TRUCKLOAD SERVICES

 

COMMON STOCK NPV

 

UNITED STATES

 

8,000

 

 

 

146,000

 

 

 

UNIVEST CORP OF PENNSYLVANIA

 

COMMON STOCK USD5.

 

UNITED STATES

 

18,149

 

 

 

310,348

 

 

 

UNS ENERGY CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

38,200

 

 

 

1,620,444

 

 

 

UNWIRED PLANET INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

89,884

 

 

 

107,861

 

 

 

URANERZ ENERGY CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

28,900

 

 

 

40,171

 

 

 

URS CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

74,483

 

 

 

2,924,203

 

 

 

URSTADT BIDDLE CLASS A

 

REIT USD.01

 

UNITED STATES

 

23,900

 

 

 

470,352

 

 

 

US AIRWAYS GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

165,900

 

 

 

2,239,650

 

 

98



Table of Contents

 

 

 

US AUTO PARTS NETWORK INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

6,800

 

 

 

12,444

 

 

 

US CELLULAR CORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

15,250

 

 

 

537,410

 

 

 

US DOLLAR

 

 

 

UNITED STATES

 

358,954

 

 

 

358,954

 

 

 

US ECOLOGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,200

 

 

 

475,508

 

 

 

US SILICA HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

11,800

 

 

 

197,414

 

 

 

USA MOBILITY INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

25,260

 

 

 

295,037

 

 

 

USANA HEALTH SCIENCES INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

6,390

 

 

 

210,423

 

 

 

USG CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

72,625

 

 

 

2,038,584

 

 

 

UTAH MEDICAL PRODUCTS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

500

 

 

 

18,025

 

 

 

UTI WORLDWIDE INC

 

COMMON STOCK NPV

 

UNITED STATES

 

105,200

 

 

 

1,409,680

 

 

 

VAALCO ENERGY INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

61,189

 

 

 

529,285

 

 

 

VAIL RESORTS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

36,300

 

 

 

1,963,467

 

 

 

VALASSIS COMMUNICATIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,300

 

 

 

1,038,934

 

 

 

VALLEY NATIONAL BANCORP

 

COMMON STOCK NPV

 

UNITED STATES

 

204,727

 

 

 

1,903,961

 

 

 

VALMONT INDUSTRIES

 

COMMON STOCK USD1.

 

UNITED STATES

 

23,400

 

 

 

3,195,270

 

 

 

VALSPAR CORP

 

COMMON STOCK USD.5

 

UNITED STATES

 

92,858

 

 

 

5,794,339

 

 

 

VALUE LINE INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

1,700

 

 

 

15,249

 

 

 

VALUECLICK INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

74,300

 

 

 

1,442,163

 

 

 

VANDA PHARMACEUTICALS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,500

 

 

 

101,750

 

 

 

VANGUARD HEALTH SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,900

 

 

 

366,275

 

 

 

VANTAGE DRILLING CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

171,700

 

 

 

314,211

 

 

 

VANTIV INC CL A

 

COMMON STOCK USD.00001

 

UNITED STATES

 

36,200

 

 

 

739,204

 

 

 

VASCO DATA SECURITY INTL

 

COMMON STOCK USD.001

 

UNITED STATES

 

27,897

 

 

 

227,640

 

 

 

VASCULAR SOLUTIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

16,700

 

 

 

263,860

 

 

 

VCA ANTECH INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

88,400

 

 

 

1,860,820

 

 

 

VECTOR GROUP LTD

 

COMMON STOCK USD.1

 

UNITED STATES

 

55,918

 

 

 

831,501

 

 

 

VECTREN CORPORATION

 

COMMON STOCK NPV

 

UNITED STATES

 

81,788

 

 

 

2,404,567

 

 

 

VEECO INSTRUMENTS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

41,600

 

 

 

1,228,032

 

 

 

VERA BRADLEY INC

 

COMMON STOCK

 

UNITED STATES

 

19,200

 

 

 

481,920

 

 

 

VERIFONE SYSTEMS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

102,961

 

 

 

3,055,882

 

 

 

VERINT SYSTEMS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

19,300

 

 

 

566,648

 

 

 

VERISK ANALYTICS INC CLASS A

 

COMMON STOCK USD.001

 

UNITED STATES

 

142,400

 

 

 

7,262,400

 

 

 

VERTEX PHARMACEUTICALS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

208,460

 

 

 

8,742,812

 

 

 

VIAD CORP

 

COMMON STOCK USD1.5

 

UNITED STATES

 

22,494

 

 

 

610,937

 

 

 

VIASAT INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

38,880

 

 

 

1,512,432

 

 

 

VICAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

85,100

 

 

 

247,641

 

 

 

VICOR CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,000

 

 

 

108,400

 

 

 

VIEWPOINT FINANCIAL GROUP IN

 

COMMON STOCK USD.01

 

UNITED STATES

 

29,660

 

 

 

621,080

 

 

 

VILLAGE SUPER MARKET CLASS A

 

COMMON STOCK NPV

 

UNITED STATES

 

6,800

 

 

 

223,448

 

 

 

VIRGIN MEDIA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

276,678

 

 

 

10,167,917

 

 

 

VIRGINIA COMMERCE BANCORP

 

COMMON STOCK USD1.

 

UNITED STATES

 

9,000

 

 

 

80,550

 

 

 

VIRNETX HOLDING CORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

41,600

 

 

 

1,218,048

 

 

 

VIROPHARMA INC

 

COMMON STOCK USD.002

 

UNITED STATES

 

72,400

 

 

 

1,647,824

 

 

 

VIRTUS INVESTMENT PARTNERS

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,089

 

 

 

736,404

 

 

 

VIRTUSA CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

20,444

 

 

 

335,895

 

 

 

VISHAY INTERTECHNOLOGY INC

 

COMMON STOCK USD.1

 

UNITED STATES

 

138,658

 

 

 

1,473,935

 

 

 

VISHAY PRECISION GROUP

 

COMMON STOCK

 

UNITED STATES

 

11,477

 

 

 

151,726

 

 

 

VISTA GOLD CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

69,000

 

 

 

186,300

 

 

 

VISTEON CORP

 

COMMON STOCK

 

UNITED STATES

 

52,000

 

 

 

2,798,640

 

 

 

VITAMIN SHOPPE INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,675

 

 

 

1,587,438

 

 

 

VIVUS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

100,200

 

 

 

1,344,684

 

 

 

VMWARE INC CLASS A

 

COMMON STOCK USD.01

 

UNITED STATES

 

85,900

 

 

 

8,086,626

 

 

 

VOCUS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

18,300

 

 

 

318,054

 

 

 

VOLCANO CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

54,140

 

 

 

1,278,245

 

 

 

VOLTERRA SEMICONDUCTOR CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

24,000

 

 

 

412,080

 

 

 

VONAGE HOLDINGS CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

154,700

 

 

 

366,639

 

 

 

VOXX INTERNATIONAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

17,500

 

 

 

117,775

 

 

 

VSE CORP

 

COMMON STOCK USD.05

 

UNITED STATES

 

4,500

 

 

 

110,295

 

 

 

W+T OFFSHORE INC

 

COMMON STOCK USD.00001

 

UNITED STATES

 

32,500

 

 

 

520,975

 

 

 

WABASH NATIONAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

74,657

 

 

 

669,673

 

 

 

WABCO HOLDINGS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

63,115

 

 

 

4,114,467

 

 

 

WABTEC CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,102

 

 

 

4,298,389

 

 

 

WADDELL + REED FINANCIAL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

88,308

 

 

 

3,074,885

 

 

 

WALTER ENERGY INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

62,500

 

 

 

2,242,500

 

 

 

WALTER INVESTMENT MANAGEMENT

 

COMMON STOCK USD.01

 

UNITED STATES

 

34,982

 

 

 

1,504,926

 

 

 

WARNACO GROUP INC/THE

 

COMMON STOCK USD.01

 

UNITED STATES

 

40,607

 

 

 

2,906,243

 

 

 

WARREN RESOURCES INC

 

COMMON STOCK USD.0001

 

UNITED STATES

 

53,478

 

 

 

150,273

 

 

 

WASHINGTON BANKING CO

 

COMMON STOCK NPV

 

UNITED STATES

 

16,539

 

 

 

225,261

 

 

 

WASHINGTON FEDERAL INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

115,322

 

 

 

1,945,482

 

 

 

WASHINGTON REIT

 

REIT USD.01

 

UNITED STATES

 

66,700

 

 

 

1,744,205

 

 

 

WASHINGTON TRUST BANCORP

 

COMMON STOCK USD.0625

 

UNITED STATES

 

15,400

 

 

 

405,174

 

 

 

WASTE CONNECTIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

118,637

 

 

 

4,008,744

 

 

 

WATSCO INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

28,600

 

 

 

2,142,140

 

 

 

WATTS WATER TECHNOLOGIES A

 

COMMON STOCK USD.1

 

UNITED STATES

 

28,800

 

 

 

1,238,112

 

 

 

WAUSAU PAPER CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

57,000

 

 

 

493,620

 

 

 

WD 40 CO

 

COMMON STOCK USD.001

 

UNITED STATES

 

17,900

 

 

 

843,269

 

 

 

WEB.COM GROUP INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

25,000

 

 

 

370,000

 

 

 

WEBMD HEALTH CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

51,757

 

 

 

742,195

 

 

 

WEBSENSE INC

 

COMMON STOCK USD.005

 

UNITED STATES

 

40,400

 

 

 

607,616

 

 

 

WEBSTER FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

76,762

 

 

 

1,577,459

 

 

 

WEIGHT WATCHERS INTL INC

 

COMMON STOCK NPV

 

UNITED STATES

 

23,900

 

 

 

1,251,404

 

 

 

WEINGARTEN REALTY INVESTORS

 

REIT USD.03

 

UNITED STATES

 

120,450

 

 

 

3,224,447

 

 

 

WEIS MARKETS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

12,500

 

 

 

489,625

 

 

 

WELLCARE HEALTH PLANS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

42,200

 

 

 

2,054,718

 

 

 

WENDY S CO/THE

 

COMMON STOCK USD.1

 

UNITED STATES

 

303,257

 

 

 

1,425,308

 

 

 

WERNER ENTERPRISES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

48,332

 

 

 

1,047,354

 

 

 

WESBANCO INC

 

COMMON STOCK USD2.0833

 

UNITED STATES

 

27,774

 

 

 

617,138

 

 

 

WESCO AIRCRAFT HOLDINGS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

20,600

 

 

 

272,126

 

 

 

WESCO INTERNATIONAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

45,200

 

 

 

3,047,836

 

 

 

WEST BANCORPORATION

 

COMMON STOCK NPV

 

UNITED STATES

 

19,400

 

 

 

209,132

 

 

 

WEST COAST BANCORP/OREGON

 

COMMON STOCK NPV

 

UNITED STATES

 

22,500

 

 

 

498,375

 

 

 

WEST MARINE INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

15,400

 

 

 

165,550

 

 

 

WEST PHARMACEUTICAL SERVICES

 

COMMON STOCK USD.25

 

UNITED STATES

 

33,600

 

 

 

1,839,600

 

 

 

WESTAMERICA BANCORPORATION

 

COMMON STOCK NPV

 

UNITED STATES

 

29,238

 

 

 

1,245,246

 

 

 

WESTAR ENERGY INC

 

COMMON STOCK USD5.

 

UNITED STATES

 

116,300

 

 

 

3,328,506

 

 

 

WESTELL TECHNOLOGIES INC A

 

COMMON STOCK USD.01

 

UNITED STATES

 

8,500

 

 

 

15,725

 

 

 

WESTERN ALLIANCE BANCORP

 

COMMON STOCK USD.0001

 

UNITED STATES

 

76,500

 

 

 

805,545

 

*

 

WESTERN ASSET MORTGAGE CAPIT

 

REIT USD.01

 

UNITED STATES

 

18,300

 

 

 

361,791

 

 

 

WESTERN REFINING INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

55,400

 

 

 

1,561,726

 

 

 

WESTFIELD FINANCIAL INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

28,852

 

 

 

208,600

 

 

 

WESTLAKE CHEMICAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,800

 

 

 

1,728,740

 

 

 

WESTMORELAND COAL CO

 

COMMON STOCK USD2.5

 

UNITED STATES

 

10,400

 

 

 

97,136

 

 

 

WESTWOOD HOLDINGS GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

5,700

 

 

 

233,130

 

 

 

WET SEAL INC/THE CLASS A

 

COMMON STOCK USD.1

 

UNITED STATES

 

103,043

 

 

 

284,399

 

 

 

WEX INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,581

 

 

 

2,983,220

 

 

 

WEYCO GROUP INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

8,386

 

 

 

195,897

 

 

 

WGL HOLDINGS INC

 

COMMON STOCK NPV

 

UNITED STATES

 

51,908

 

 

 

2,034,275

 

 

 

WHITE MOUNTAINS INSURANCE GP

 

COMMON STOCK USD1.

 

UNITED STATES

 

5,900

 

 

 

3,038,500

 

 

 

WHITEWAVE FOODS CO CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

27,300

 

 

 

424,242

 

 

 

WHITING PETROLEUM CORP

 

COMMON STOCK USD.001

 

UNITED STATES

 

114,004

 

 

 

4,944,353

 

 

 

WILEY (JOHN) + SONS CLASS A

 

COMMON STOCK USD1.

 

UNITED STATES

 

47,433

 

 

 

1,846,567

 

 

 

WILLBROS GROUP INC

 

COMMON STOCK USD.05

 

UNITED STATES

 

47,424

 

 

 

254,193

 

 

99



Table of Contents

 

 

 

WILLIAMS SONOMA INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

89,338

 

 

 

3,910,324

 

 

 

WILSHIRE BANCORP INC

 

COMMON STOCK NPV

 

UNITED STATES

 

74,874

 

 

 

439,510

 

 

 

WINMARK CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

1,500

 

 

 

85,500

 

 

 

WINNEBAGO INDUSTRIES

 

COMMON STOCK USD.5

 

UNITED STATES

 

33,100

 

 

 

567,003

 

 

 

WINTHROP REALTY TRUST

 

REIT USD1.

 

UNITED STATES

 

35,036

 

 

 

387,148

 

 

 

WINTRUST FINANCIAL CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

36,096

 

 

 

1,324,723

 

 

 

WISDOMTREE INVESTMENTS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

49,200

 

 

 

301,104

 

 

 

WMS INDUSTRIES INC

 

COMMON STOCK USD.5

 

UNITED STATES

 

59,726

 

 

 

1,045,205

 

 

 

WOLVERINE WORLD WIDE INC

 

COMMON STOCK USD1.

 

UNITED STATES

 

51,729

 

 

 

2,119,854

 

 

 

WOODWARD INC

 

COMMON STOCK USD.00292

 

UNITED STATES

 

63,900

 

 

 

2,436,507

 

 

 

WORKDAY INC CLASS A

 

COMMON STOCK USD.001

 

UNITED STATES

 

26,400

 

 

 

1,438,800

 

 

 

WORLD ACCEPTANCE CORP

 

COMMON STOCK NPV

 

UNITED STATES

 

12,100

 

 

 

902,176

 

 

 

WORLD FUEL SERVICES CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

72,800

 

 

 

2,997,176

 

 

 

WORLD WRESTLING ENTERTAIN A

 

COMMON STOCK USD.01

 

UNITED STATES

 

21,700

 

 

 

171,213

 

 

 

WORTHINGTON INDUSTRIES

 

COMMON STOCK NPV

 

UNITED STATES

 

51,300

 

 

 

1,333,287

 

 

 

WR BERKLEY CORP

 

COMMON STOCK USD.2

 

UNITED STATES

 

111,171

 

 

 

4,195,594

 

 

 

WR GRACE + CO

 

COMMON STOCK USD.01

 

UNITED STATES

 

74,585

 

 

 

5,014,350

 

 

 

WRIGHT MEDICAL GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

39,737

 

 

 

834,080

 

 

 

WSFS FINANCIAL CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

6,500

 

 

 

274,625

 

 

 

XENOPORT INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

32,200

 

 

 

250,194

 

 

 

XO GROUP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

32,300

 

 

 

300,390

 

 

 

XPO LOGISTICS INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

14,300

 

 

 

248,534

 

 

 

YORK RESH CORP

 

WT CL B EXP 01DEC02

 

UNITED STATES

 

70

 

 

 

0

 

 

 

YORK WATER CO

 

COMMON STOCK NPV

 

UNITED STATES

 

13,500

 

 

 

237,195

 

 

 

YOUNG INNOVATIONS INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

5,600

 

 

 

220,696

 

 

 

ZAGG INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

17,500

 

 

 

128,800

 

 

 

ZEBRA TECHNOLOGIES CORP CL A

 

COMMON STOCK USD.01

 

UNITED STATES

 

50,725

 

 

 

1,992,478

 

 

 

ZEP INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

26,401

 

 

 

381,230

 

 

 

ZILLOW INC CLASS A

 

COMMON STOCK USD.0001

 

UNITED STATES

 

4,500

 

 

 

124,875

 

 

 

ZIOPHARM ONCOLOGY INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

66,900

 

 

 

278,304

 

 

 

ZIPCAR INC

 

COMMON STOCK USD.001

 

UNITED STATES

 

8,100

 

 

 

66,744

 

 

 

ZIX CORP

 

COMMON STOCK USD.01

 

UNITED STATES

 

65,800

 

 

 

184,240

 

 

 

ZOLTEK COMPANIES INC

 

COMMON STOCK USD.01

 

UNITED STATES

 

31,796

 

 

 

246,419

 

 

 

ZUMIEZ INC

 

COMMON STOCK NPV

 

UNITED STATES

 

19,162

 

 

 

371,934

 

 

 

ZYGO CORP

 

COMMON STOCK USD.1

 

UNITED STATES

 

17,200

 

 

 

270,040

 

 

 

ZYNGA INC CL A

 

COMMON STOCK USD.006.25

 

UNITED STATES

 

122,000

 

 

 

289,140

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT B - Small/Mid-Cap Stock Index Fund

 

 

 

 

 

$

2,960,815,771

 

 


 

 

n / a - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

100



Table of Contents

 

EXHIBIT C - Inflation Protected Bond Fund

(Managed by State Street Global Advisors)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

 

 

4,346,936

 

 

 

$

4,346,936

 

 

 

TSY INFL IX N/B

 

01/14 2.

 

 

 

70,950,747

 

 

 

73,217,837

 

 

 

TSY INFL IX N/B

 

01/15 1.625

 

 

 

63,074,144

 

 

 

67,011,358

 

 

 

TSY INFL IX N/B

 

01/16 2.

 

 

 

54,291,089

 

 

 

60,195,245

 

 

 

TSY INFL IX N/B

 

01/17 2.375

 

 

 

46,072,410

 

 

 

53,548,396

 

 

 

TSY INFL IX N/B

 

01/18 1.625

 

 

 

41,708,918

 

 

 

48,372,585

 

 

 

TSY INFL IX N/B

 

01/19 2.125

 

 

 

38,346,099

 

 

 

46,557,571

 

 

 

TSY INFL IX N/B

 

01/20 1.375

 

 

 

52,738,842

 

 

 

62,516,149

 

 

 

TSY INFL IX N/B

 

01/21 1.125

 

 

 

94,356,264

 

 

 

110,824,357

 

 

 

TSY INFL IX N/B

 

01/22 0.125

 

 

 

108,615,216

 

 

 

117,949,391

 

 

 

TSY INFL IX N/B

 

01/25 2.375

 

 

 

73,471,267

 

 

 

99,111,563

 

 

 

TSY INFL IX N/B

 

01/26 2.

 

 

 

52,572,021

 

 

 

68,943,263

 

 

 

TSY INFL IX N/B

 

01/27 2.375

 

 

 

42,222,911

 

 

 

58,214,838

 

 

 

TSY INFL IX N/B

 

01/28 1.75

 

 

 

42,348,232

 

 

 

54,817,796

 

 

 

TSY INFL IX N/B

 

01/29 2.5

 

 

 

40,941,580

 

 

 

58,392,928

 

 

 

TSY INFL IX N/B

 

02/40 2.125

 

 

 

25,242,445

 

 

 

37,039,350

 

 

 

TSY INFL IX N/B

 

02/41 2.125

 

 

 

38,789,449

 

 

 

57,278,090

 

 

 

TSY INFL IX N/B

 

02/42 0.75

 

 

 

61,334,136

 

 

 

67,175,232

 

 

 

TSY INFL IX N/B

 

04/14 1.25

 

 

 

45,717,748

 

 

 

47,132,163

 

 

 

TSY INFL IX N/B

 

04/15 0.5

 

 

 

62,104,049

 

 

 

64,801,724

 

 

 

TSY INFL IX N/B

 

04/16 0.125

 

 

 

110,687,648

 

 

 

116,550,662

 

 

 

TSY INFL IX N/B

 

04/17 0.125

 

 

 

84,736,245

 

 

 

90,740,570

 

 

 

TSY INFL IX N/B

 

04/28 3.625

 

 

 

45,071,394

 

 

 

71,445,190

 

 

 

TSY INFL IX N/B

 

04/29 3.875

 

 

 

53,171,873

 

 

 

88,132,380

 

 

 

TSY INFL IX N/B

 

04/32 3.375

 

 

 

17,103,328

 

 

 

28,189,757

 

 

 

TSY INFL IX N/B

 

07/14 2.

 

 

 

63,896,808

 

 

 

67,426,085

 

 

 

TSY INFL IX N/B

 

07/15 1.875

 

 

 

55,396,454

 

 

 

60,395,098

 

 

 

TSY INFL IX N/B

 

07/16 2.5

 

 

 

53,128,016

 

 

 

61,055,725

 

 

 

TSY INFL IX N/B

 

07/17 2.625

 

 

 

39,498,017

 

 

 

47,329,723

 

 

 

TSY INFL IX N/B

 

07/18 1.375

 

 

 

41,138,429

 

 

 

47,887,681

 

 

 

TSY INFL IX N/B

 

07/19 1.875

 

 

 

43,486,472

 

 

 

52,927,776

 

 

 

TSY INFL IX N/B

 

07/20 1.25

 

 

 

81,046,262

 

 

 

96,141,129

 

 

 

TSY INFL IX N/B

 

07/21 0.625

 

 

 

98,429,085

 

 

 

111,886,211

 

 

 

TSY INFL IX N/B

 

07/22 0.125

 

 

 

112,970,617

 

 

 

122,634,915

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT C - Infaltion Protected Bond Fund

 

 

 

 

 

$

2,320,189,674

 

 


 

 

n / a - Cost is not applicable

 

101



Table of Contents

 

EXHIBIT D - Total Bond Market Fund

(Managed by Neuberger Berman)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

BARRICK PD AU FIN PTY LT

 

5.95% 15 Oct 2039

 

AUSTRALIA

 

1,055,000

 

 

 

$

1,218,460

 

 

 

BHP BILLITON FIN USA LTD

 

3.25% 21 Nov 2021

 

AUSTRALIA

 

1,700,000

 

 

 

1,829,630

 

 

 

OEKB OEST. KONTROLLBANK

 

4.875% 16 Feb 2016

 

AUSTRIA

 

1,025,000

 

 

 

1,151,793

 

 

 

FED REPUBLIC OF BRAZIL

 

5.625% 07 Jan 2041

 

BRAZIL

 

2,765,000

 

 

 

3,262,700

 

 

 

FED REPUBLIC OF BRAZIL

 

6% 17 Jan 2017

 

BRAZIL

 

1,400,000

 

 

 

1,834,000

 

 

 

BRITISH COLUMBIA PROV OF

 

2.1% 18 May 2016

 

CANADA

 

2,035,000

 

 

 

2,138,378

 

 

 

ENCANA CORP

 

6.5% 01 Feb 2038

 

CANADA

 

475,000

 

 

 

594,104

 

 

 

HUSKY ENERGY INC

 

5.9% 15 Jun 2014

 

CANADA

 

1,700,000

 

 

 

1,822,140

 

 

 

HYDRO QUEBEC

 

1.375% 19 Jun 2017

 

CANADA

 

2,375,000

 

 

 

2,406,825

 

 

 

ONTARIO (PROVINCE OF)

 

4.4% 14 Apr 2020

 

CANADA

 

3,132,000

 

 

 

3,688,397

 

 

 

PROVINCE OF QUEBEC

 

2.75% 25 Aug 2021

 

CANADA

 

1,500,000

 

 

 

1,566,924

 

 

 

ROGERS COMMUNICATIONS IN

 

5.5% 15 Mar 2014

 

CANADA

 

850,000

 

 

 

899,178

 

 

 

SUNCOR ENERGY INC

 

6.5% 15 Jun 2038

 

CANADA

 

850,000

 

 

 

1,133,726

 

 

 

TRANS CANADA PIPELINES

 

7.625% 15 Jan 2039

 

CANADA

 

1,000,000

 

 

 

1,504,355

 

 

 

NOBLE HOLDING INTL LTD

 

4.625% 01 Mar 2021

 

CAYMAN ISLANDS

 

1,290,000

 

 

 

1,421,454

 

 

 

PETROBRAS INTL FIN CO

 

5.75% 20 Jan 2020

 

CAYMAN ISLANDS

 

2,750,000

 

 

 

3,130,479

 

 

 

VALE OVERSEAS LIMITED

 

6.875% 21 Nov 2036

 

CAYMAN ISLANDS

 

1,000,000

 

 

 

1,080,501

 

 

 

VALE OVERSEAS LIMITED

 

4.625% 15 Sep 2020

 

CAYMAN ISLANDS

 

525,000

 

 

 

650,780

 

 

 

BNP PARIBAS

 

3.6% 23 Feb 2016

 

FRANCE

 

955,000

 

 

 

1,010,818

 

 

 

FRANCE TELECOM

 

4.375% 08 Jul 2014

 

FRANCE

 

1,505,000

 

 

 

1,583,904

 

 

 

SANOFI

 

4% 29 Mar 2021

 

FRANCE

 

965,000

 

 

 

1,099,941

 

 

 

TOTAL CAPITAL SA

 

4.45% 24 Jun 2020

 

FRANCE

 

1,300,000

 

 

 

1,505,833

 

 

 

KFW

 

2.75% 08 Sep 2020

 

GERMANY

 

6,100,000

 

 

 

6,166,368

 

 

 

KFW

 

1.375% 13 Jan 2014

 

GERMANY

 

2,000,000

 

 

 

2,162,600

 

 

 

LANDWIRTSCH. RENTENBANK

 

3.125% 15 Jul 2015

 

GERMANY

 

1,000,000

 

 

 

1,065,500

 

 

 

ASIAN DEVELOPMENT BANK

 

2.625% 09 Feb 2015

 

INTERNATIONAL

 

1,435,000

 

 

 

1,501,871

 

 

 

CORP ANDINA DE FOMENTO

 

8.125% 04 Jun 2019

 

INTERNATIONAL

 

655,000

 

 

 

843,207

 

 

 

EUROPEAN INVESTMENT BANK

 

2.375% 14 Mar 2014

 

INTERNATIONAL

 

1,500,000

 

 

 

1,743,645

 

 

 

EUROPEAN INVESTMENT BANK

 

4% 16 Feb 2021

 

INTERNATIONAL

 

8,200,000

 

 

 

8,393,766

 

 

 

INTER AMERICAN DEVEL BK

 

3% 22 Apr 2014

 

INTERNATIONAL

 

1,670,000

 

 

 

1,730,426

 

 

 

INTL BK RECON + DEVELOP

 

1.125% 25 Aug 2014

 

INTERNATIONAL

 

2,290,000

 

 

 

2,322,353

 

 

 

INTL FINANCE CORP

 

2.25% 11 Apr 2016

 

INTERNATIONAL

 

1,025,000

 

 

 

1,084,011

 

 

 

NORDIC INVESTMENT BANK

 

5% 01 Feb 2017

 

INTERNATIONAL

 

765,000

 

 

 

897,039

 

 

 

ITALY GOV T INT BOND

 

4.5% 21 Jan 2015

 

ITALY

 

2,025,000

 

 

 

2,116,550

 

 

 

JAPAN FINANCE CORP

 

2.5% 18 May 2016

 

JAPAN

 

1,100,000

 

 

 

1,165,211

 

 

 

EXPORT IMPORT BK KOREA

 

3.75% 20 Oct 2016

 

KOREA, REPUBLIC OF

 

1,025,000

 

 

 

1,101,306

 

 

 

KOREA DEVELOPMENT BANK

 

3.25% 09 Mar 2016

 

KOREA, REPUBLIC OF

 

1,025,000

 

 

 

1,073,492

 

 

 

COVIDIEN INTL FINANCE SA

 

3.2% 15 Jun 2022

 

LUXEMBOURG

 

1,150,000

 

 

 

1,203,932

 

 

 

TELECOM ITALIA CAPITAL

 

5.25% 01 Oct 2015

 

LUXEMBOURG

 

700,000

 

 

 

744,800

 

 

 

AMERICA MOVIL SAB DE CV

 

5% 30 Mar 2020

 

MEXICO

 

1,800,000

 

 

 

2,094,250

 

 

 

PETROLEOS MEXICANOS

 

6% 05 Mar 2020

 

MEXICO

 

2,525,000

 

 

 

3,017,375

 

 

 

UNITED MEXICAN STATES

 

5.125% 15 Jan 2020

 

MEXICO

 

1,950,000

 

 

 

2,330,250

 

 

 

UNITED MEXICAN STATES

 

6.75% 27 Sep 2034

 

MEXICO

 

1,300,000

 

 

 

1,872,000

 

 

 

DEUTSCHE TELEKOM INT FIN

 

5.75% 23 Mar 2016

 

NETHERLANDS

 

1,620,000

 

 

 

1,845,852

 

 

 

PHILIPS ELECTRONICS NV

 

3.75% 15 Mar 2022

 

NETHERLANDS

 

580,000

 

 

 

626,974

 

 

 

SHELL INTERNATIONAL FIN

 

3.1% 28 Jun 2015

 

NETHERLANDS

 

1,370,000

 

 

 

1,451,326

 

 

 

REPUBLIC OF PERU

 

7.125% 30 Mar 2019

 

PERU

 

930,000

 

 

 

1,217,370

 

 

 

REPUBLIC OF PERU

 

6.55% 14 Mar 2037

 

PERU

 

1,250,000

 

 

 

1,806,250

 

 

 

REPUBLIC OF POLAND

 

5.125% 21 Apr 2021

 

POLAND

 

770,000

 

 

 

913,220

 

 

 

TELEFONICA EMISIONES SAU

 

3.992% 16 Feb 2016

 

SPAIN

 

900,000

 

 

 

936,450

 

 

 

CREDIT SUISSE NEW YORK

 

2.2% 14 Jan 2014

 

SWITZERLAND

 

2,000,000

 

 

 

2,030,520

 

 

 

ASTRAZENECA PLC

 

4% 18 Sep 2042

 

UNITED KINGDOM

 

1,455,000

 

 

 

1,471,668

 

 

 

BP CAPITAL MARKETS PLC

 

3.2% 11 Mar 2016

 

UNITED KINGDOM

 

1,351,000

 

 

 

1,441,143

 

 

 

BRITISH TELECOM PLC

 

9.625% 15 Dec 2030

 

UNITED KINGDOM

 

400,000

 

 

 

635,472

 

 

 

ENSCO PLC

 

3.25% 15 Mar 2016

 

UNITED KINGDOM

 

1,480,000

 

 

 

1,569,386

 

 

 

GLAXOSMITHKLINE CAPITAL

 

1.5% 08 May 2017

 

UNITED KINGDOM

 

1,500,000

 

 

 

1,521,809

 

 

 

HSBC HOLDINGS PLC

 

5.1% 05 Apr 2021

 

UNITED KINGDOM

 

1,500,000

 

 

 

1,771,322

 

 

 

HSBC HOLDINGS PLC

 

6.5% 15 Sep 2037

 

UNITED KINGDOM

 

850,000

 

 

 

1,060,961

 

 

 

RIO TINTO FIN USA PLC

 

4.125% 21 Aug 2042

 

UNITED KINGDOM

 

660,000

 

 

 

671,452

 

 

 

VODAFONE GROUP PLC

 

6.15% 27 Feb 2037

 

UNITED KINGDOM

 

1,000,000

 

 

 

1,322,675

 

 

 

ABBVIE INC

 

1.75% 06 Nov 2017

 

UNITED STATES

 

2,000,000

 

 

 

2,021,754

 

 

 

AIR PRODUCTS + CHEMICALS

 

1.2% 15 Oct 2017

 

UNITED STATES

 

2,795,000

 

 

 

2,789,024

 

 

 

ALTRIA GROUP INC

 

9.95% 10 Nov 2038

 

UNITED STATES

 

1,035,000

 

 

 

1,705,099

 

 

 

AMERICAN MUNI PWR OHIO INC OH

 

7.834% 15 Feb 2041

 

UNITED STATES

 

930,000

 

 

 

1,302,307

 

 

 

AMGEN INC

 

3.875% 15 Nov 2021

 

UNITED STATES

 

1,300,000

 

 

 

1,427,639

 

 

 

ANADARKO PETROLEUM CORP

 

6.45% 15 Sep 2036

 

UNITED STATES

 

700,000

 

 

 

876,937

 

 

 

ANHEUSER BUSCH INBEV WOR

 

5.375% 15 Jan 2020

 

UNITED STATES

 

1,490,000

 

 

 

1,813,381

 

 

 

APACHE CORP

 

5.25% 01 Feb 2042

 

UNITED STATES

 

1,000,000

 

 

 

1,157,874

 

 

 

APACHE CORP

 

1.75% 15 Apr 2017

 

UNITED STATES

 

3,880,000

 

 

 

3,984,228

 

 

 

AT+T INC

 

6.5% 01 Sep 2037

 

UNITED STATES

 

2,000,000

 

 

 

2,117,444

 

 

 

AT+T INC

 

5.625% 15 Jun 2016

 

UNITED STATES

 

605,000

 

 

 

694,409

 

 

 

AT+T INC

 

4.3% 15 Dec 2042

 

UNITED STATES

 

1,306,000

 

 

 

1,708,086

 

 

 

AT+T INC

 

2.95% 15 May 2016

 

UNITED STATES

 

20,000

 

 

 

20,087

 

 

 

AVALONBAY COMMUNITIES

 

5.7% 15 Mar 2017

 

UNITED STATES

 

875,000

 

 

 

1,020,682

 

 

 

BANC OF AMERICA COMMERCIAL MOR

 

5.7454% 10 Apr 2049

 

UNITED STATES

 

2,500,000

 

 

 

2,856,225

 

 

 

BANC OF AMERICA COMMERCIAL MOR

 

1% 10 Jul 2044

 

UNITED STATES

 

935,000

 

 

 

1,071,335

 

 

 

BANC OF AMERICA COMMERCIAL MOR

 

5.356% 10 Oct 2045

 

UNITED STATES

 

2,273,776

 

 

 

2,465,919

 

 

 

BANK OF AMERICA CORP

 

5.65% 01 May 2018

 

UNITED STATES

 

3,690,000

 

 

 

3,708,867

 

 

 

BANK OF AMERICA CORP

 

1.5% 09 Oct 2015

 

UNITED STATES

 

3,660,000

 

 

 

4,258,201

 

 

 

BAXTER INTERNATIONAL INC

 

2.4% 15 Aug 2022

 

UNITED STATES

 

900,000

 

 

 

890,359

 

 

 

BAY AREA CA TOLL AUTH TOLL BRI

 

7.043% 01 Apr 2050

 

UNITED STATES

 

500,000

 

 

 

728,870

 

 

 

BB+T CORPORATION

 

1.6% 15 Aug 2017

 

UNITED STATES

 

2,160,000

 

 

 

2,185,937

 

 

 

BECTON DICKINSON

 

3.125% 08 Nov 2021

 

UNITED STATES

 

1,100,000

 

 

 

1,175,346

 

 

 

BERKSHIRE HATHAWAY FIN

 

5.75% 15 Jan 2040

 

UNITED STATES

 

1,275,000

 

 

 

1,560,838

 

 

 

BOEING CAPITAL CORP

 

2.125% 15 Aug 2016

 

UNITED STATES

 

1,170,000

 

 

 

1,217,652

 

 

 

BOSTON PROPERTIES LP

 

5.625% 15 Nov 2020

 

UNITED STATES

 

1,400,000

 

 

 

1,656,194

 

 

 

BURLINGTN NORTH SANTA FE

 

4.375% 01 Sep 2042

 

UNITED STATES

 

800,000

 

 

 

840,830

 

 

 

CALIFORNIA ST

 

7.55% 01 Apr 2039

 

UNITED STATES

 

1,210,000

 

 

 

1,744,578

 

 

 

CARRINGTON MORTGAGE LOAN TRUST

 

1% 25 Jun 2036

 

UNITED STATES

 

655,818

 

 

 

2,995

 

 

 

CATERPILLAR INC

 

3.803% 15 Aug 2042

 

UNITED STATES

 

1,338,000

 

 

 

1,333,003

 

 

 

CELGENE CORP

 

3.95% 15 Oct 2020

 

UNITED STATES

 

795,000

 

 

 

862,802

 

 

 

CISCO SYSTEMS INC

 

5.5% 15 Jan 2040

 

UNITED STATES

 

765,000

 

 

 

972,273

 

 

 

CITIGROUP INC

 

5.875% 29 May 2037

 

UNITED STATES

 

2,630,000

 

 

 

3,164,876

 

 

 

CITIGROUP INC

 

8.125% 15 Jul 2039

 

UNITED STATES

 

640,000

 

 

 

958,154

 

 

 

CITIGROUP INC

 

5% 15 Sep 2014

 

UNITED STATES

 

3,375,000

 

 

 

3,550,797

 

 

 

CITIGROUP MORTGAGE LOAN TRUST

 

0.5842% 25 Nov 2036

 

UNITED STATES

 

4,094,449

 

 

 

25,766

 

 

 

COCA COLA CO/THE

 

3.15% 15 Nov 2020

 

UNITED STATES

 

1,500,000

 

 

 

1,632,263

 

 

 

COMCAST CORP

 

6.3% 15 Nov 2017

 

UNITED STATES

 

700,000

 

 

 

918,967

 

 

 

COMCAST CORP

 

6.55% 01 Jul 2039

 

UNITED STATES

 

1,565,000

 

 

 

1,919,887

 

 

 

CONNECTICUT ST

 

5.85% 15 Mar 2032

 

UNITED STATES

 

1,045,000

 

 

 

1,325,980

 

 

 

CONOCOPHILLIPS

 

6% 15 Jan 2020

 

UNITED STATES

 

930,000

 

 

 

1,180,199

 

 

102



Table of Contents

 

 

 

CONOCOPHILLIPS

 

6.5% 01 Feb 2039

 

UNITED STATES

 

575,000

 

 

 

815,430

 

 

 

CONS EDISON CO OF NY

 

4.2% 15 Mar 2042

 

UNITED STATES

 

775,000

 

 

 

825,954

 

 

 

CONTL AIRLINES 2007 1

 

5.983% 19 Oct 2023

 

UNITED STATES

 

0

 

 

 

0

 

 

 

COX COMMUNICATIONS INC

 

5.45% 15 Dec 2014

 

UNITED STATES

 

233,000

 

 

 

254,106

 

 

 

CVS CAREMARK CORP

 

6.25% 01 Jun 2027

 

UNITED STATES

 

1,075,000

 

 

 

1,419,412

 

 

 

DEVON ENERGY CORPORATION

 

5.625% 15 Jan 2014

 

UNITED STATES

 

1,000,000

 

 

 

1,052,101

 

 

 

DIRECTV HOLDINGS/FING

 

6% 15 Aug 2040

 

UNITED STATES

 

285,000

 

 

 

301,931

 

 

 

DIRECTV HOLDINGS/FING

 

3.5% 01 Mar 2016

 

UNITED STATES

 

730,000

 

 

 

809,993

 

 

 

DISCOVERY COMMUNICATIONS

 

5.05% 01 Jun 2020

 

UNITED STATES

 

1,350,000

 

 

 

1,562,158

 

 

 

DOMINION RESOURCES INC

 

1.8% 15 Mar 2014

 

UNITED STATES

 

1,015,000

 

 

 

1,028,303

 

 

 

DOVER CORP

 

4.3% 01 Mar 2021

 

UNITED STATES

 

960,000

 

 

 

1,106,265

 

 

 

DOW CHEMICAL CO/THE

 

8.55% 15 May 2019

 

UNITED STATES

 

1,140,000

 

 

 

1,539,087

 

 

 

DR PEPPER SNAPPLE GROUP

 

2.9% 15 Jan 2016

 

UNITED STATES

 

1,650,000

 

 

 

1,738,564

 

 

 

DUKE ENERGY CORP

 

3.35% 01 Apr 2015

 

UNITED STATES

 

1,270,000

 

 

 

1,341,855

 

 

 

DUKE REALTY LP

 

5.95% 15 Feb 2017

 

UNITED STATES

 

720,000

 

 

 

823,065

 

 

 

E.I. DU PONT DE NEMOURS

 

2.75% 01 Apr 2016

 

UNITED STATES

 

1,000,000

 

 

 

1,055,524

 

 

 

ECOLAB INC

 

5.5% 08 Dec 2041

 

UNITED STATES

 

700,000

 

 

 

835,131

 

 

 

ENERGY TRANSFER PARTNERS

 

6.5% 01 Feb 2042

 

UNITED STATES

 

925,000

 

 

 

1,132,512

 

 

 

ENTERPRISE PRODUCTS OPER

 

3.2% 01 Feb 2016

 

UNITED STATES

 

1,185,000

 

 

 

1,252,115

 

 

 

EXELON GENERATION CO LLC

 

5.2% 01 Oct 2019

 

UNITED STATES

 

2,000,000

 

 

 

2,267,284

 

 

 

EXPRESS SCRIPTS HOLDING

 

3.125% 15 May 2016

 

UNITED STATES

 

1,140,000

 

 

 

1,201,893

 

 

 

FANNIE MAE

 

2.375% 11 Apr 2016

 

UNITED STATES

 

5,355,000

 

 

 

5,365,458

 

 

 

FANNIE MAE

 

6% 18 Apr 2036

 

UNITED STATES

 

695,000

 

 

 

1,091,937

 

 

 

FANNIE MAE

 

5.25% 15 Sep 2016

 

UNITED STATES

 

1,385,000

 

 

 

1,403,472

 

 

 

FANNIE MAE

 

0.5% 28 Sep 2015

 

UNITED STATES

 

500,000

 

 

 

531,406

 

 

 

FANNIE MAE

 

0.875% 20 Dec 2017

 

UNITED STATES

 

195,000

 

 

 

227,895

 

 

 

FANNIE MAE

 

6.625% 15 Nov 2030

 

UNITED STATES

 

330,000

 

 

 

525,714

 

 

 

FANNIE MAE

 

1.25% 27 Feb 2014

 

UNITED STATES

 

3,925,000

 

 

 

3,937,383

 

 

 

FANNIE MAE

 

0.01% 09 Oct 2019

 

UNITED STATES

 

3,075,000

 

 

 

3,600,527

 

 

 

FANNIE MAE

 

7.125% 15 Jan 2030

 

UNITED STATES

 

535,000

 

 

 

814,807

 

 

 

FANNIE MAE

 

7.25% 15 May 2030

 

UNITED STATES

 

3,180,000

 

 

 

3,159,689

 

 

 

FANNIE MAE

 

1.6% 24 Dec 2020

 

UNITED STATES

 

250,000

 

 

 

219,014

 

 

 

FED HM LN PC POOL A23137

 

5% 01 Jun 2034

 

UNITED STATES

 

3,612,330

 

 

 

3,905,148

 

 

 

FED HM LN PC POOL A35945

 

5% 01 Jul 2035

 

UNITED STATES

 

219,781

 

 

 

237,322

 

 

 

FED HM LN PC POOL A46663

 

5% 01 Aug 2035

 

UNITED STATES

 

227,290

 

 

 

245,430

 

 

 

FED HM LN PC POOL A48972

 

5.5% 01 May 2036

 

UNITED STATES

 

537,262

 

 

 

581,401

 

 

 

FED HM LN PC POOL A50219

 

5% 01 Jul 2036

 

UNITED STATES

 

62,195

 

 

 

66,984

 

 

 

FED HM LN PC POOL A51249

 

6% 01 Aug 2036

 

UNITED STATES

 

185,422

 

 

 

202,075

 

 

 

FED HM LN PC POOL A54174

 

6% 01 Nov 2036

 

UNITED STATES

 

19,886

 

 

 

21,786

 

 

 

FED HM LN PC POOL A55275

 

5.5% 01 Dec 2036

 

UNITED STATES

 

1,159,641

 

 

 

1,254,911

 

 

 

FED HM LN PC POOL A56733

 

6% 01 Jan 2037

 

UNITED STATES

 

128,603

 

 

 

140,474

 

 

 

FED HM LN PC POOL A56988

 

5.5% 01 Feb 2037

 

UNITED STATES

 

691,686

 

 

 

747,214

 

 

 

FED HM LN PC POOL A59973

 

6% 01 May 2037

 

UNITED STATES

 

46,957

 

 

 

51,101

 

 

 

FED HM LN PC POOL A61985

 

6% 01 Jun 2037

 

UNITED STATES

 

185,665

 

 

 

202,050

 

 

 

FED HM LN PC POOL A63820

 

6% 01 Aug 2037

 

UNITED STATES

 

88,939

 

 

 

96,788

 

 

 

FED HM LN PC POOL A65895

 

6% 01 Sep 2037

 

UNITED STATES

 

5,576

 

 

 

6,068

 

 

 

FED HM LN PC POOL A66380

 

6% 01 Sep 2037

 

UNITED STATES

 

91,717

 

 

 

99,811

 

 

 

FED HM LN PC POOL A66777

 

6% 01 Oct 2037

 

UNITED STATES

 

186,986

 

 

 

203,487

 

 

 

FED HM LN PC POOL A68547

 

5.5% 01 Nov 2037

 

UNITED STATES

 

22,982

 

 

 

24,827

 

 

 

FED HM LN PC POOL A68939

 

6% 01 Nov 2037

 

UNITED STATES

 

161,696

 

 

 

176,622

 

 

 

FED HM LN PC POOL A71807

 

5% 01 Feb 2038

 

UNITED STATES

 

292,743

 

 

 

315,009

 

 

 

FED HM LN PC POOL A72232

 

6% 01 Feb 2038

 

UNITED STATES

 

72,171

 

 

 

78,540

 

 

 

FED HM LN PC POOL A74128

 

5.5% 01 Feb 2038

 

UNITED STATES

 

233,612

 

 

 

252,221

 

 

 

FED HM LN PC POOL A75230

 

5% 01 Apr 2038

 

UNITED STATES

 

451,377

 

 

 

485,709

 

 

 

FED HM LN PC POOL A76467

 

6% 01 Apr 2038

 

UNITED STATES

 

84,336

 

 

 

91,778

 

 

 

FED HM LN PC POOL A76486

 

5% 01 Apr 2038

 

UNITED STATES

 

158,031

 

 

 

170,051

 

 

 

FED HM LN PC POOL A77766

 

6% 01 Jun 2038

 

UNITED STATES

 

331,533

 

 

 

360,790

 

 

 

FED HM LN PC POOL A77961

 

5.5% 01 Jun 2038

 

UNITED STATES

 

119,373

 

 

 

128,881

 

 

 

FED HM LN PC POOL A77976

 

6% 01 Jun 2038

 

UNITED STATES

 

258,733

 

 

 

281,566

 

 

 

FED HM LN PC POOL A78147

 

5.5% 01 Jun 2038

 

UNITED STATES

 

9,708

 

 

 

10,481

 

 

 

FED HM LN PC POOL A78982

 

5.5% 01 Jul 2038

 

UNITED STATES

 

121,734

 

 

 

131,431

 

 

 

FED HM LN PC POOL A80388

 

6% 01 Dec 2036

 

UNITED STATES

 

2,605

 

 

 

2,839

 

 

 

FED HM LN PC POOL A80970

 

5.5% 01 Aug 2038

 

UNITED STATES

 

74,223

 

 

 

80,135

 

 

 

FED HM LN PC POOL A81327

 

6% 01 Aug 2038

 

UNITED STATES

 

57,206

 

 

 

62,254

 

 

 

FED HM LN PC POOL A81426

 

6% 01 Sep 2038

 

UNITED STATES

 

20,315

 

 

 

22,108

 

 

 

FED HM LN PC POOL A81569

 

6% 01 Aug 2038

 

UNITED STATES

 

238,328

 

 

 

259,360

 

 

 

FED HM LN PC POOL A83435

 

6% 01 Dec 2038

 

UNITED STATES

 

131,396

 

 

 

142,991

 

 

 

FED HM LN PC POOL A83575

 

5% 01 Dec 2038

 

UNITED STATES

 

455,218

 

 

 

489,843

 

 

 

FED HM LN PC POOL A84660

 

5.5% 01 Feb 2039

 

UNITED STATES

 

34,095

 

 

 

36,874

 

 

 

FED HM LN PC POOL A85013

 

5.5% 01 Jan 2039

 

UNITED STATES

 

622,174

 

 

 

674,454

 

 

 

FED HM LN PC POOL A86956

 

5% 01 Jun 2039

 

UNITED STATES

 

358,975

 

 

 

386,279

 

 

 

FED HM LN PC POOL A87715

 

4.5% 01 Aug 2039

 

UNITED STATES

 

37,359

 

 

 

40,089

 

 

 

FED HM LN PC POOL A88235

 

5.5% 01 Aug 2039

 

UNITED STATES

 

134,789

 

 

 

145,778

 

 

 

FED HM LN PC POOL A90575

 

5.5% 01 Jan 2040

 

UNITED STATES

 

71,969

 

 

 

79,209

 

 

 

FED HM LN PC POOL A90974

 

4.5% 01 Feb 2040

 

UNITED STATES

 

331,245

 

 

 

355,457

 

 

 

FED HM LN PC POOL A91538

 

4.5% 01 Mar 2040

 

UNITED STATES

 

765,688

 

 

 

824,525

 

 

 

FED HM LN PC POOL A91695

 

4.5% 01 Apr 2040

 

UNITED STATES

 

143,640

 

 

 

154,139

 

 

 

FED HM LN PC POOL A91703

 

4.5% 01 Apr 2040

 

UNITED STATES

 

270,246

 

 

 

291,012

 

 

 

FED HM LN PC POOL A92458

 

5% 01 Jun 2040

 

UNITED STATES

 

88,532

 

 

 

96,096

 

 

 

FED HM LN PC POOL A92473

 

4.5% 01 Jun 2040

 

UNITED STATES

 

86,209

 

 

 

92,833

 

 

 

FED HM LN PC POOL A93010

 

4.5% 01 Jul 2040

 

UNITED STATES

 

642,607

 

 

 

691,986

 

 

 

FED HM LN PC POOL A93261

 

4% 01 Aug 2040

 

UNITED STATES

 

321,671

 

 

 

343,703

 

 

 

FED HM LN PC POOL A93503

 

4.5% 01 Aug 2040

 

UNITED STATES

 

1,463,847

 

 

 

1,576,332

 

 

 

FED HM LN PC POOL A93520

 

4.5% 01 Aug 2040

 

UNITED STATES

 

833,857

 

 

 

897,932

 

 

 

FED HM LN PC POOL A93547

 

4.5% 01 Aug 2040

 

UNITED STATES

 

554,397

 

 

 

596,997

 

 

 

FED HM LN PC POOL A93548

 

4.5% 01 Aug 2040

 

UNITED STATES

 

106,081

 

 

 

114,233

 

 

 

FED HM LN PC POOL A95085

 

4% 01 Nov 2040

 

UNITED STATES

 

113,219

 

 

 

120,974

 

 

 

FED HM LN PC POOL A95258

 

4% 01 Nov 2040

 

UNITED STATES

 

808,178

 

 

 

863,534

 

 

 

FED HM LN PC POOL A97373

 

4.5% 01 Mar 2041

 

UNITED STATES

 

1,744,090

 

 

 

1,881,925

 

 

 

FED HM LN PC POOL A97473

 

4.5% 01 Mar 2041

 

UNITED STATES

 

553,125

 

 

 

596,839

 

 

 

FED HM LN PC POOL A97479

 

4.5% 01 Mar 2041

 

UNITED STATES

 

860,220

 

 

 

928,203

 

 

 

FED HM LN PC POOL A97673

 

4.5% 01 Mar 2041

 

UNITED STATES

 

42,041

 

 

 

45,271

 

 

 

FED HM LN PC POOL B14973

 

5% 01 Jun 2019

 

UNITED STATES

 

509,681

 

 

 

548,356

 

 

 

FED HM LN PC POOL B15314

 

5% 01 Jul 2019

 

UNITED STATES

 

361,885

 

 

 

389,345

 

 

 

FED HM LN PC POOL C01846

 

5% 01 Jun 2034

 

UNITED STATES

 

1,064,728

 

 

 

1,151,036

 

 

 

FED HM LN PC POOL C02551

 

6% 01 Jun 2036

 

UNITED STATES

 

118,969

 

 

 

130,189

 

 

 

FED HM LN PC POOL C03478

 

4.5% 01 Jun 2040

 

UNITED STATES

 

462,111

 

 

 

497,621

 

 

 

FED HM LN PC POOL C03479

 

5% 01 Jun 2040

 

UNITED STATES

 

451,775

 

 

 

490,373

 

 

 

FED HM LN PC POOL C03832

 

4.5% 01 Mar 2042

 

UNITED STATES

 

1,558,459

 

 

 

1,681,623

 

 

 

FED HM LN PC POOL D98740

 

4% 01 Aug 2031

 

UNITED STATES

 

445,999

 

 

 

481,008

 

 

 

FED HM LN PC POOL E00756

 

6.5% 01 Nov 2014

 

UNITED STATES

 

3,933

 

 

 

4,124

 

 

 

FED HM LN PC POOL E01279

 

5.5% 01 Jan 2018

 

UNITED STATES

 

419,343

 

 

 

451,504

 

 

 

FED HM LN PC POOL E93129

 

6.5% 01 Apr 2017

 

UNITED STATES

 

222

 

 

 

225

 

 

 

FED HM LN PC POOL E93873

 

5.5% 01 Jan 2018

 

UNITED STATES

 

161,854

 

 

 

174,072

 

 

 

FED HM LN PC POOL E94294

 

5.5% 01 Feb 2018

 

UNITED STATES

 

191,611

 

 

 

206,075

 

 

 

FED HM LN PC POOL G01781

 

6.5% 01 Dec 2034

 

UNITED STATES

 

3,870,708

 

 

 

4,444,691

 

 

 

FED HM LN PC POOL G01840

 

5% 01 Jul 2035

 

UNITED STATES

 

13,051

 

 

 

14,109

 

 

 

FED HM LN PC POOL G01842

 

4.5% 01 Jun 2035

 

UNITED STATES

 

1,620,094

 

 

 

1,741,548

 

 

 

FED HM LN PC POOL G01883

 

5% 01 Aug 2035

 

UNITED STATES

 

129,246

 

 

 

139,561

 

 

 

FED HM LN PC POOL G01974

 

5% 01 Dec 2035

 

UNITED STATES

 

77,232

 

 

 

83,396

 

 

 

FED HM LN PC POOL G02391

 

6% 01 Nov 2036

 

UNITED STATES

 

26,351

 

 

 

28,718

 

 

 

FED HM LN PC POOL G02469

 

5.5% 01 Dec 2036

 

UNITED STATES

 

362,665

 

 

 

392,460

 

 

 

FED HM LN PC POOL G02478

 

5.5% 01 Dec 2036

 

UNITED STATES

 

198,758

 

 

 

215,087

 

 

 

FED HM LN PC POOL G03238

 

6% 01 Aug 2037

 

UNITED STATES

 

205,237

 

 

 

223,349

 

 

103



Table of Contents

 

 

 

FED HM LN PC POOL G03350

 

5.5% 01 Sep 2037

 

UNITED STATES

 

397,733

 

 

 

429,663

 

 

 

FED HM LN PC POOL G03432

 

5.5% 01 Nov 2037

 

UNITED STATES

 

71,491

 

 

 

77,230

 

 

 

FED HM LN PC POOL G03698

 

6% 01 Dec 2037

 

UNITED STATES

 

149,190

 

 

 

162,356

 

 

 

FED HM LN PC POOL G03776

 

6% 01 Jan 2038

 

UNITED STATES

 

45,584

 

 

 

49,607

 

 

 

FED HM LN PC POOL G03781

 

6% 01 Jan 2038

 

UNITED STATES

 

389,723

 

 

 

424,116

 

 

 

FED HM LN PC POOL G03819

 

6% 01 Jan 2038

 

UNITED STATES

 

245,082

 

 

 

266,710

 

 

 

FED HM LN PC POOL G04316

 

6% 01 May 2038

 

UNITED STATES

 

220,363

 

 

 

240,705

 

 

 

FED HM LN PC POOL G04832

 

5% 01 Oct 2038

 

UNITED STATES

 

17,048

 

 

 

18,345

 

 

 

FED HM LN PC POOL G04891

 

5.5% 01 Jan 2038

 

UNITED STATES

 

167,934

 

 

 

182,308

 

 

 

FED HM LN PC POOL G04913

 

5% 01 Mar 2038

 

UNITED STATES

 

614,897

 

 

 

662,243

 

 

 

FED HM LN PC POOL G04916

 

5% 01 Dec 2035

 

UNITED STATES

 

383,489

 

 

 

414,095

 

 

 

FED HM LN PC POOL G04920

 

6% 01 Nov 2038

 

UNITED STATES

 

95,269

 

 

 

103,676

 

 

 

FED HM LN PC POOL G04924

 

6% 01 Nov 2038

 

UNITED STATES

 

132,353

 

 

 

144,033

 

 

 

FED HM LN PC POOL G05082

 

5% 01 Mar 2038

 

UNITED STATES

 

624,430

 

 

 

674,266

 

 

 

FED HM LN PC POOL G05120

 

5.5% 01 Dec 2038

 

UNITED STATES

 

168,329

 

 

 

181,737

 

 

 

FED HM LN PC POOL G05179

 

5.5% 01 Jan 2039

 

UNITED STATES

 

100,849

 

 

 

108,945

 

 

 

FED HM LN PC POOL G05250

 

5% 01 Mar 2038

 

UNITED STATES

 

543,630

 

 

 

585,489

 

 

 

FED HM LN PC POOL G05432

 

6% 01 Apr 2039

 

UNITED STATES

 

863,121

 

 

 

939,290

 

 

 

FED HM LN PC POOL G05666

 

6% 01 Apr 2038

 

UNITED STATES

 

113,536

 

 

 

123,556

 

 

 

FED HM LN PC POOL G05922

 

5.5% 01 Jul 2039

 

UNITED STATES

 

204,102

 

 

 

220,487

 

 

 

FED HM LN PC POOL G05958

 

5% 01 Aug 2040

 

UNITED STATES

 

342,490

 

 

 

372,745

 

 

 

FED HM LN PC POOL G06021

 

5.5% 01 Jan 2040

 

UNITED STATES

 

696,752

 

 

 

752,687

 

 

 

FED HM LN PC POOL G06067

 

5% 01 Oct 2039

 

UNITED STATES

 

84,982

 

 

 

91,446

 

 

 

FED HM LN PC POOL G06193

 

5.5% 01 May 2040

 

UNITED STATES

 

99,885

 

 

 

107,904

 

 

 

FED HM LN PC POOL G06222

 

4% 01 Jan 2041

 

UNITED STATES

 

281,479

 

 

 

300,759

 

 

 

FED HM LN PC POOL G06800

 

4% 01 Oct 2041

 

UNITED STATES

 

1,394,626

 

 

 

1,491,022

 

 

 

FED HM LN PC POOL G06929

 

4.5% 01 Jun 2038

 

UNITED STATES

 

537,348

 

 

 

577,967

 

 

 

FED HM LN PC POOL G07003

 

4% 01 May 2042

 

UNITED STATES

 

424,979

 

 

 

454,353

 

 

 

FED HM LN PC POOL G07021

 

5% 01 Sep 2039

 

UNITED STATES

 

140,688

 

 

 

151,389

 

 

 

FED HM LN PC POOL G08160

 

5.5% 01 Nov 2036

 

UNITED STATES

 

2,604,683

 

 

 

2,818,669

 

 

 

FED HM LN PC POOL G08210

 

6% 01 Jul 2037

 

UNITED STATES

 

675,024

 

 

 

734,593

 

 

 

FED HM LN PC POOL G08255

 

5% 01 Mar 2038

 

UNITED STATES

 

572,059

 

 

 

615,570

 

 

 

FED HM LN PC POOL G08271

 

6% 01 May 2038

 

UNITED STATES

 

143,323

 

 

 

155,971

 

 

 

FED HM LN PC POOL G08273

 

5.5% 01 Jun 2038

 

UNITED STATES

 

112,668

 

 

 

121,643

 

 

 

FED HM LN PC POOL G08300

 

5.5% 01 Nov 2038

 

UNITED STATES

 

391,783

 

 

 

422,991

 

 

 

FED HM LN PC POOL G08372

 

4.5% 01 Nov 2039

 

UNITED STATES

 

450,397

 

 

 

483,317

 

 

 

FED HM LN PC POOL G08447

 

4.5% 01 May 2041

 

UNITED STATES

 

295,387

 

 

 

318,731

 

 

 

FED HM LN PC POOL G11552

 

5.5% 01 Feb 2019

 

UNITED STATES

 

233,124

 

 

 

253,054

 

 

 

FED HM LN PC POOL G14047

 

5.5% 01 Dec 2024

 

UNITED STATES

 

984,854

 

 

 

1,059,200

 

 

 

FED HM LN PC POOL G18188

 

4.5% 01 Apr 2022

 

UNITED STATES

 

120,110

 

 

 

128,136

 

 

 

FED HM LN PC POOL J05098

 

4.5% 01 Jun 2022

 

UNITED STATES

 

293,181

 

 

 

312,221

 

 

 

FED HM LN PC POOL J17233

 

3% 01 Nov 2026

 

UNITED STATES

 

1,137,325

 

 

 

1,196,015

 

 

 

FED HM LN PC POOL Q00093

 

4% 01 Apr 2041

 

UNITED STATES

 

1,562,318

 

 

 

1,670,305

 

 

 

FED HM LN PC POOL Q00291

 

5% 01 Apr 2041

 

UNITED STATES

 

1,216,928

 

 

 

1,322,418

 

 

 

FED HM LN PC POOL Q01085

 

4% 01 May 2041

 

UNITED STATES

 

1,485,779

 

 

 

1,588,475

 

 

 

FED HM LN PC POOL Q01348

 

4.5% 01 Jun 2041

 

UNITED STATES

 

753,799

 

 

 

813,372

 

 

 

FED HM LN PC POOL Q01443

 

4.5% 01 Jun 2041

 

UNITED STATES

 

1,112,705

 

 

 

1,200,641

 

 

 

FED HM LN PC POOL Q01798

 

4.5% 01 Jul 2041

 

UNITED STATES

 

216,768

 

 

 

233,899

 

 

 

FED HM LN PC POOL Q01838

 

4% 01 Jun 2041

 

UNITED STATES

 

456,348

 

 

 

487,890

 

 

 

FED HM LN PC POOL Q01936

 

5% 01 Jun 2041

 

UNITED STATES

 

110,364

 

 

 

124,310

 

 

 

FED HM LN PC POOL Q02339

 

4.5% 01 Jul 2041

 

UNITED STATES

 

0

 

 

 

0

 

 

 

FED HM LN PC POOL Q02583

 

4.5% 01 Aug 2041

 

UNITED STATES

 

452,622

 

 

 

496,596

 

 

 

FED HM LN PC POOL Q02849

 

4.5% 01 Aug 2041

 

UNITED STATES

 

999,458

 

 

 

1,078,445

 

 

 

FED HM LN PC POOL Q05649

 

4% 01 Jan 2042

 

UNITED STATES

 

634,925

 

 

 

678,811

 

 

 

FED HM LN PC POOL Q05926

 

4% 01 Feb 2042

 

UNITED STATES

 

442,428

 

 

 

473,009

 

 

 

FEDERAL HOME LOAN BANK

 

5.375% 15 May 2019

 

UNITED STATES

 

260,000

 

 

 

326,035

 

 

 

FEDERAL HOME LOAN BANK

 

5.5% 15 Jul 2036

 

UNITED STATES

 

100,000

 

 

 

137,593

 

 

 

FEDERAL HOME LOAN BANK

 

5.125% 15 Aug 2019

 

UNITED STATES

 

365,000

 

 

 

452,779

 

 

 

FEDERAL HOME LOAN BANK

 

0.5% 20 Nov 2015

 

UNITED STATES

 

2,190,000

 

 

 

2,198,248

 

 

 

FEDEX CORP

 

2.625% 01 Aug 2022

 

UNITED STATES

 

770,000

 

 

 

822,816

 

 

 

FEDEX CORP

 

7.375% 15 Jan 2014

 

UNITED STATES

 

1,240,000

 

 

 

1,233,635

 

 

 

FHLMC GOLD TBA 30 YR

 

4% 01 Dec 2099

 

UNITED STATES

 

4,575,000

 

 

 

4,883,813

 

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

3.5% 01 Dec 2099

 

UNITED STATES

 

10,765,000

 

 

 

11,447,064

 

 

 

FIRSTENERGY SOLUTIONS CO

 

6.8% 15 Aug 2039

 

UNITED STATES

 

810,000

 

 

 

910,272

 

 

 

FNMA    TBA JAN 30 SINGLE FAM

 

4.5% 01 Dec 2099

 

UNITED STATES

 

5,115,000

 

 

 

5,525,199

 

 

 

FNMA CONV 15YR TBA

 

2.5% 01 Dec 2099

 

UNITED STATES

 

7,535,000

 

 

 

7,878,784

 

 

 

FNMA POOL 190391

 

6% 01 Sep 2038

 

UNITED STATES

 

9,719

 

 

 

10,619

 

 

 

FNMA POOL 190396

 

4.5% 01 Jun 2039

 

UNITED STATES

 

740,543

 

 

 

800,205

 

 

 

FNMA POOL 254845

 

4% 01 Jul 2013

 

UNITED STATES

 

1,081

 

 

 

1,138

 

 

 

FNMA POOL 254919

 

4% 01 Sep 2018

 

UNITED STATES

 

182,255

 

 

 

195,614

 

 

 

FNMA POOL 255788

 

5.5% 01 Jun 2015

 

UNITED STATES

 

367,953

 

 

 

395,454

 

 

 

FNMA POOL 256476

 

6% 01 Nov 2036

 

UNITED STATES

 

11,256

 

 

 

12,323

 

 

 

FNMA POOL 256719

 

5.5% 01 May 2017

 

UNITED STATES

 

5,160

 

 

 

5,545

 

 

 

FNMA POOL 256805

 

5.5% 01 Jul 2022

 

UNITED STATES

 

4,031

 

 

 

4,463

 

 

 

FNMA POOL 256883

 

6% 01 Sep 2037

 

UNITED STATES

 

253,512

 

 

 

277,548

 

 

 

FNMA POOL 257262

 

5.5% 01 Jul 2038

 

UNITED STATES

 

111,553

 

 

 

121,206

 

 

 

FNMA POOL 257481

 

5% 01 Nov 2018

 

UNITED STATES

 

178,910

 

 

 

194,001

 

 

 

FNMA POOL 448481

 

5.5% 01 Apr 2014

 

UNITED STATES

 

136,198

 

 

 

146,193

 

 

 

FNMA POOL 504924

 

5.5% 01 Jun 2014

 

UNITED STATES

 

5,000

 

 

 

5,367

 

 

 

FNMA POOL 506482

 

6.5% 01 Jul 2029

 

UNITED STATES

 

3,363

 

 

 

3,824

 

 

 

FNMA POOL 545898

 

5.5% 01 Sep 2017

 

UNITED STATES

 

551,683

 

 

 

594,234

 

 

 

FNMA POOL 545962

 

5.5% 01 Dec 2013

 

UNITED STATES

 

66,199

 

 

 

71,057

 

 

 

FNMA POOL 555114

 

5.5% 01 Dec 2017

 

UNITED STATES

 

24,740

 

 

 

26,585

 

 

 

FNMA POOL 625993

 

5% 01 Jan 2017

 

UNITED STATES

 

194,080

 

 

 

211,096

 

 

 

FNMA POOL 671146

 

5% 01 Feb 2018

 

UNITED STATES

 

4,690

 

 

 

5,097

 

 

 

FNMA POOL 673111

 

5% 01 Dec 2017

 

UNITED STATES

 

2,529

 

 

 

2,749

 

 

 

FNMA POOL 697601

 

4.5% 01 Apr 2018

 

UNITED STATES

 

1,152,235

 

 

 

1,242,637

 

 

 

FNMA POOL 725250

 

5% 01 Mar 2034

 

UNITED STATES

 

1,170,061

 

 

 

1,274,779

 

 

 

FNMA POOL 725422

 

5% 01 Apr 2034

 

UNITED STATES

 

1,970,541

 

 

 

2,146,900

 

 

 

FNMA POOL 732094

 

5.5% 01 Aug 2018

 

UNITED STATES

 

16,494

 

 

 

17,865

 

 

 

FNMA POOL 735058

 

4% 01 Sep 2019

 

UNITED STATES

 

174,564

 

 

 

187,360

 

 

 

FNMA POOL 735288

 

5% 01 Mar 2035

 

UNITED STATES

 

400,000

 

 

 

436,225

 

 

 

FNMA POOL 735591

 

5% 01 Jun 2035

 

UNITED STATES

 

514,608

 

 

 

561,703

 

 

 

FNMA POOL 735676

 

5% 01 Jul 2035

 

UNITED STATES

 

720,514

 

 

 

783,866

 

 

 

FNMA POOL 735925

 

5% 01 Oct 2035

 

UNITED STATES

 

258,051

 

 

 

279,484

 

 

 

FNMA POOL 738166

 

5% 01 Sep 2033

 

UNITED STATES

 

8,563

 

 

 

9,329

 

 

 

FNMA POOL 745275

 

5% 01 Feb 2036

 

UNITED STATES

 

1,826,806

 

 

 

1,986,784

 

 

 

FNMA POOL 745511

 

5% 01 Apr 2036

 

UNITED STATES

 

486,620

 

 

 

527,130

 

 

 

FNMA POOL 745873

 

5.5% 01 Oct 2036

 

UNITED STATES

 

680,284

 

 

 

739,999

 

 

 

FNMA POOL 745932

 

6.5% 01 Nov 2036

 

UNITED STATES

 

222,949

 

 

 

250,104

 

 

 

FNMA POOL 747428

 

5.5% 01 Oct 2033

 

UNITED STATES

 

602,702

 

 

 

658,620

 

 

 

FNMA POOL 748841

 

5% 01 Jun 2022

 

UNITED STATES

 

92,434

 

 

 

100,191

 

 

 

FNMA POOL 749079

 

5.5% 01 Dec 2033

 

UNITED STATES

 

944,773

 

 

 

1,050,143

 

 

 

FNMA POOL 763978

 

5.5% 01 Dec 2033

 

UNITED STATES

 

322,265

 

 

 

354,179

 

 

 

FNMA POOL 785497

 

4.5% 01 Jun 2019

 

UNITED STATES

 

329,868

 

 

 

355,748

 

 

 

FNMA POOL 797554

 

4% 01 May 2020

 

UNITED STATES

 

196,004

 

 

 

210,862

 

 

 

FNMA POOL 813870

 

4% 01 Jun 2020

 

UNITED STATES

 

329,345

 

 

 

354,310

 

 

 

FNMA POOL 826966

 

5.5% 01 Jun 2035

 

UNITED STATES

 

20,506

 

 

 

22,409

 

 

 

FNMA POOL 829187

 

5% 01 Jul 2035

 

UNITED STATES

 

459,719

 

 

 

499,139

 

 

 

FNMA POOL 831017

 

6% 01 Sep 2035

 

UNITED STATES

 

13,928

 

 

 

15,418

 

 

 

FNMA POOL 831824

 

5.5% 01 Oct 2021

 

UNITED STATES

 

613,457

 

 

 

664,607

 

 

 

FNMA POOL 831832

 

6% 01 Sep 2036

 

UNITED STATES

 

654,454

 

 

 

716,503

 

 

 

FNMA POOL 833126

 

5% 01 Sep 2035

 

UNITED STATES

 

301,895

 

 

 

327,782

 

 

 

FNMA POOL 833729

 

4% 01 Jul 2020

 

UNITED STATES

 

32,869

 

 

 

35,360

 

 

104



Table of Contents

 

 

 

FNMA POOL 835144

 

5% 01 Oct 2035

 

UNITED STATES

 

187,983

 

 

 

204,102

 

 

 

FNMA POOL 835783

 

5% 01 Sep 2035

 

UNITED STATES

 

436,960

 

 

 

474,428

 

 

 

FNMA POOL 844809

 

5% 01 Nov 2035

 

UNITED STATES

 

627,516

 

 

 

681,325

 

 

 

FNMA POOL 847817

 

6% 01 Nov 2035

 

UNITED STATES

 

678,142

 

 

 

747,205

 

 

 

FNMA POOL 868934

 

5% 01 May 2036

 

UNITED STATES

 

600,137

 

 

 

650,097

 

 

 

FNMA POOL 872188

 

6% 01 Sep 2036

 

UNITED STATES

 

243,185

 

 

 

266,241

 

 

 

FNMA POOL 878340

 

6% 01 Apr 2037

 

UNITED STATES

 

4,934

 

 

 

5,559

 

 

 

FNMA POOL 879131

 

5% 01 Jun 2021

 

UNITED STATES

 

3,503

 

 

 

3,807

 

 

 

FNMA POOL 879617

 

5.5% 01 May 2021

 

UNITED STATES

 

772,690

 

 

 

837,117

 

 

 

FNMA POOL 880622

 

5.5% 01 Apr 2036

 

UNITED STATES

 

151,933

 

 

 

165,269

 

 

 

FNMA POOL 886090

 

6.5% 01 Jul 2036

 

UNITED STATES

 

86,794

 

 

 

97,341

 

 

 

FNMA POOL 886958

 

6% 01 Jun 2036

 

UNITED STATES

 

572,413

 

 

 

626,684

 

 

 

FNMA POOL 887666

 

5% 01 Aug 2036

 

UNITED STATES

 

92,130

 

 

 

99,799

 

 

 

FNMA POOL 888120

 

5% 01 Oct 2035

 

UNITED STATES

 

1,654,323

 

 

 

1,796,178

 

 

 

FNMA POOL 888131

 

5.5% 01 Feb 2037

 

UNITED STATES

 

198,169

 

 

 

215,564

 

 

 

FNMA POOL 888219

 

5.5% 01 Mar 2037

 

UNITED STATES

 

967,529

 

 

 

1,052,458

 

 

 

FNMA POOL 888221

 

5.5% 01 Mar 2037

 

UNITED STATES

 

1,138,536

 

 

 

1,238,476

 

 

 

FNMA POOL 888743

 

6% 01 Jan 2036

 

UNITED STATES

 

2,890,940

 

 

 

3,185,359

 

 

 

FNMA POOL 889450

 

6% 01 Mar 2038

 

UNITED STATES

 

376,483

 

 

 

412,178

 

 

 

FNMA POOL 889479

 

5% 01 Jul 2037

 

UNITED STATES

 

351,642

 

 

 

381,794

 

 

 

FNMA POOL 889579

 

6% 01 May 2038

 

UNITED STATES

 

309,262

 

 

 

338,706

 

 

 

FNMA POOL 889749

 

5.5% 01 Jun 2038

 

UNITED STATES

 

800,632

 

 

 

870,911

 

 

 

FNMA POOL 889970

 

5% 01 Dec 2036

 

UNITED STATES

 

740,517

 

 

 

804,015

 

 

 

FNMA POOL 889996

 

5.5% 01 Jun 2038

 

UNITED STATES

 

883,128

 

 

 

959,682

 

 

 

FNMA POOL 890306

 

4% 01 Apr 2026

 

UNITED STATES

 

413,884

 

 

 

443,446

 

 

 

FNMA POOL 890331

 

5% 01 Jul 2024

 

UNITED STATES

 

290,384

 

 

 

315,571

 

 

 

FNMA POOL 890337

 

4.5% 01 Jan 2026

 

UNITED STATES

 

1,138,003

 

 

 

1,224,799

 

 

 

FNMA POOL 890375

 

4.5% 01 Aug 2023

 

UNITED STATES

 

65,900

 

 

 

71,070

 

 

 

FNMA POOL 891436

 

6% 01 Mar 2036

 

UNITED STATES

 

153,666

 

 

 

168,235

 

 

 

FNMA POOL 892537

 

6.5% 01 Sep 2036

 

UNITED STATES

 

4,975

 

 

 

5,908

 

 

 

FNMA POOL 893511

 

6% 01 Sep 2036

 

UNITED STATES

 

195,788

 

 

 

214,351

 

 

 

FNMA POOL 893533

 

6.5% 01 Sep 2036

 

UNITED STATES

 

227,133

 

 

 

254,891

 

 

 

FNMA POOL 897100

 

6.5% 01 Jul 2036

 

UNITED STATES

 

226,180

 

 

 

253,815

 

 

 

FNMA POOL 897909

 

6% 01 Jan 2037

 

UNITED STATES

 

338,726

 

 

 

371,053

 

 

 

FNMA POOL 899588

 

5.5% 01 Jun 2037

 

UNITED STATES

 

299,173

 

 

 

325,107

 

 

 

FNMA POOL 899671

 

6.5% 01 Aug 2037

 

UNITED STATES

 

165,166

 

 

 

185,438

 

 

 

FNMA POOL 902591

 

5.5% 01 Nov 2021

 

UNITED STATES

 

134,376

 

 

 

145,581

 

 

 

FNMA POOL 903677

 

6.5% 01 Oct 2036

 

UNITED STATES

 

6,161

 

 

 

6,912

 

 

 

FNMA POOL 905953

 

5.5% 01 Jan 2022

 

UNITED STATES

 

594,312

 

 

 

643,866

 

 

 

FNMA POOL 908670

 

5.5% 01 Dec 2036

 

UNITED STATES

 

129,096

 

 

 

141,073

 

 

 

FNMA POOL 920079

 

6% 01 Dec 2036

 

UNITED STATES

 

50,032

 

 

 

54,776

 

 

 

FNMA POOL 925224

 

6.5% 01 Sep 2037

 

UNITED STATES

 

1,280

 

 

 

1,521

 

 

 

FNMA POOL 929182

 

5% 01 Mar 2038

 

UNITED STATES

 

528,231

 

 

 

572,205

 

 

 

FNMA POOL 930539

 

6% 01 Feb 2039

 

UNITED STATES

 

224,602

 

 

 

245,897

 

 

 

FNMA POOL 930627

 

4% 01 Feb 2024

 

UNITED STATES

 

232,545

 

 

 

249,155

 

 

 

FNMA POOL 931410

 

4% 01 Jun 2024

 

UNITED STATES

 

148,214

 

 

 

158,801

 

 

 

FNMA POOL 931507

 

4.5% 01 Jul 2039

 

UNITED STATES

 

2,204,397

 

 

 

2,425,392

 

 

 

FNMA POOL 932091

 

6.5% 01 Sep 2039

 

UNITED STATES

 

173,044

 

 

 

205,477

 

 

 

FNMA POOL 932117

 

4% 01 Nov 2024

 

UNITED STATES

 

181,272

 

 

 

194,201

 

 

 

FNMA POOL 932841

 

3.5% 01 Dec 2025

 

UNITED STATES

 

416,649

 

 

 

442,243

 

 

 

FNMA POOL 933008

 

6% 01 Sep 2037

 

UNITED STATES

 

288,890

 

 

 

316,280

 

 

 

FNMA POOL 933342

 

5% 01 Jan 2038

 

UNITED STATES

 

300,000

 

 

 

324,974

 

 

 

FNMA POOL 933990

 

5% 01 Aug 2023

 

UNITED STATES

 

20,719

 

 

 

22,436

 

 

 

FNMA POOL 934084

 

6.5% 01 Jun 2038

 

UNITED STATES

 

88,790

 

 

 

105,597

 

 

 

FNMA POOL 935964

 

4.5% 01 Apr 2025

 

UNITED STATES

 

343,517

 

 

 

370,684

 

 

 

FNMA POOL 936202

 

5.5% 01 May 2022

 

UNITED STATES

 

475,715

 

 

 

514,488

 

 

 

FNMA POOL 939477

 

5% 01 Jun 2037

 

UNITED STATES

 

989,420

 

 

 

1,071,787

 

 

 

FNMA POOL 941045

 

5% 01 Jul 2022

 

UNITED STATES

 

86,635

 

 

 

94,150

 

 

 

FNMA POOL 941217

 

6% 01 Jun 2037

 

UNITED STATES

 

326,978

 

 

 

357,980

 

 

 

FNMA POOL 941817

 

4.5% 01 Feb 2023

 

UNITED STATES

 

126,637

 

 

 

136,335

 

 

 

FNMA POOL 943669

 

5.5% 01 Jul 2022

 

UNITED STATES

 

27,434

 

 

 

29,584

 

 

 

FNMA POOL 944632

 

5% 01 Jul 2037

 

UNITED STATES

 

7,246

 

 

 

7,849

 

 

 

FNMA POOL 944748

 

6.5% 01 Jul 2037

 

UNITED STATES

 

271,519

 

 

 

302,163

 

 

 

FNMA POOL 947126

 

5% 01 Oct 2037

 

UNITED STATES

 

8,264

 

 

 

8,952

 

 

 

FNMA POOL 947569

 

5.5% 01 Oct 2022

 

UNITED STATES

 

339,406

 

 

 

367,070

 

 

 

FNMA POOL 947732

 

5% 01 Oct 2022

 

UNITED STATES

 

37,247

 

 

 

40,373

 

 

 

FNMA POOL 948711

 

6% 01 Aug 2037

 

UNITED STATES

 

170,005

 

 

 

186,123

 

 

 

FNMA POOL 949298

 

6.5% 01 Oct 2037

 

UNITED STATES

 

148,621

 

 

 

166,903

 

 

 

FNMA POOL 949562

 

5.5% 01 Oct 2022

 

UNITED STATES

 

261,985

 

 

 

283,338

 

 

 

FNMA POOL 952459

 

6% 01 Sep 2037

 

UNITED STATES

 

7,174

 

 

 

7,855

 

 

 

FNMA POOL 953513

 

5.5% 01 Oct 2022

 

UNITED STATES

 

129,932

 

 

 

140,522

 

 

 

FNMA POOL 953613

 

5.5% 01 Mar 2038

 

UNITED STATES

 

875,712

 

 

 

951,486

 

 

 

FNMA POOL 955724

 

6.5% 01 Nov 2037

 

UNITED STATES

 

799,039

 

 

 

949,606

 

 

 

FNMA POOL 955802

 

6% 01 Oct 2037

 

UNITED STATES

 

3,042

 

 

 

3,331

 

 

 

FNMA POOL 955803

 

6.5% 01 Oct 2037

 

UNITED STATES

 

291,172

 

 

 

326,907

 

 

 

FNMA POOL 956014

 

6% 01 Nov 2037

 

UNITED STATES

 

201,693

 

 

 

220,816

 

 

 

FNMA POOL 956078

 

6.5% 01 Dec 2037

 

UNITED STATES

 

4,018

 

 

 

4,775

 

 

 

FNMA POOL 961118

 

6% 01 Apr 2038

 

UNITED STATES

 

60,303

 

 

 

65,888

 

 

 

FNMA POOL 962435

 

4% 01 Apr 2023

 

UNITED STATES

 

303,054

 

 

 

324,795

 

 

 

FNMA POOL 964413

 

5.5% 01 Jul 2023

 

UNITED STATES

 

136,020

 

 

 

147,107

 

 

 

FNMA POOL 964850

 

5.5% 01 Aug 2023

 

UNITED STATES

 

278,025

 

 

 

300,686

 

 

 

FNMA POOL 966102

 

6.5% 01 Nov 2037

 

UNITED STATES

 

5,841

 

 

 

6,941

 

 

 

FNMA POOL 967071

 

6% 01 Dec 2037

 

UNITED STATES

 

197,528

 

 

 

216,256

 

 

 

FNMA POOL 968367

 

6.5% 01 Sep 2038

 

UNITED STATES

 

451,399

 

 

 

507,029

 

 

 

FNMA POOL 969057

 

5.5% 01 Mar 2023

 

UNITED STATES

 

41,435

 

 

 

44,813

 

 

 

FNMA POOL 969436

 

5% 01 Jan 2023

 

UNITED STATES

 

49,810

 

 

 

54,209

 

 

 

FNMA POOL 970016

 

6% 01 Jun 2038

 

UNITED STATES

 

158,073

 

 

 

174,399

 

 

 

FNMA POOL 972541

 

6% 01 Feb 2038

 

UNITED STATES

 

152,315

 

 

 

166,422

 

 

 

FNMA POOL 973571

 

5% 01 Mar 2023

 

UNITED STATES

 

250,852

 

 

 

271,631

 

 

 

FNMA POOL 974435

 

6% 01 Mar 2038

 

UNITED STATES

 

78,701

 

 

 

85,990

 

 

 

FNMA POOL 974620

 

5% 01 May 2023

 

UNITED STATES

 

42,511

 

 

 

46,078

 

 

 

FNMA POOL 974678

 

4.5% 01 Apr 2023

 

UNITED STATES

 

3,953

 

 

 

4,254

 

 

 

FNMA POOL 975103

 

5.5% 01 Jun 2038

 

UNITED STATES

 

424,205

 

 

 

460,911

 

 

 

FNMA POOL 975123

 

5.5% 01 May 2038

 

UNITED STATES

 

1,076,831

 

 

 

1,170,009

 

 

 

FNMA POOL 975376

 

5.5% 01 Jun 2038

 

UNITED STATES

 

477,579

 

 

 

518,903

 

 

 

FNMA POOL 976011

 

5% 01 Mar 2038

 

UNITED STATES

 

3,451

 

 

 

3,738

 

 

 

FNMA POOL 976452

 

4.5% 01 Apr 2023

 

UNITED STATES

 

200,690

 

 

 

216,060

 

 

 

FNMA POOL 977076

 

5% 01 Jan 2038

 

UNITED STATES

 

94,571

 

 

 

102,798

 

 

 

FNMA POOL 979639

 

5% 01 Jun 2023

 

UNITED STATES

 

116,867

 

 

 

126,547

 

 

 

FNMA POOL 979919

 

6% 01 May 2038

 

UNITED STATES

 

40,896

 

 

 

45,169

 

 

 

FNMA POOL 981274

 

5% 01 Apr 2023

 

UNITED STATES

 

69,318

 

 

 

75,059

 

 

 

FNMA POOL 981359

 

4.5% 01 Apr 2023

 

UNITED STATES

 

22,689

 

 

 

24,419

 

 

 

FNMA POOL 981571

 

5% 01 Jun 2023

 

UNITED STATES

 

445,406

 

 

 

482,300

 

 

 

FNMA POOL 983034

 

5% 01 May 2038

 

UNITED STATES

 

10,461

 

 

 

11,332

 

 

 

FNMA POOL 983629

 

4.5% 01 May 2023

 

UNITED STATES

 

46,640

 

 

 

50,197

 

 

 

FNMA POOL 990970

 

5% 01 Sep 2023

 

UNITED STATES

 

51,124

 

 

 

55,358

 

 

 

FNMA POOL 991066

 

5% 01 Nov 2023

 

UNITED STATES

 

23,362

 

 

 

25,297

 

 

 

FNMA POOL 991073

 

5% 01 Dec 2023

 

UNITED STATES

 

144,841

 

 

 

156,839

 

 

 

FNMA POOL 994149

 

5.5% 01 Dec 2023

 

UNITED STATES

 

237,422

 

 

 

256,773

 

 

 

FNMA POOL 994207

 

6% 01 Dec 2038

 

UNITED STATES

 

79,446

 

 

 

86,805

 

 

 

FNMA POOL 994810

 

5% 01 Nov 2023

 

UNITED STATES

 

70,223

 

 

 

76,040

 

 

 

FNMA POOL 994933

 

5% 01 Sep 2023

 

UNITED STATES

 

23,547

 

 

 

25,524

 

 

 

FNMA POOL 995112

 

5.5% 01 Jul 2036

 

UNITED STATES

 

687,633

 

 

 

752,291

 

 

 

FNMA POOL 995152

 

5.5% 01 Jan 2021

 

UNITED STATES

 

311,977

 

 

 

336,039

 

 

105



Table of Contents

 

 

 

FNMA POOL 995231

 

6.5% 01 Jan 2039

 

UNITED STATES

 

41,743

 

 

 

46,865

 

 

 

FNMA POOL 995246

 

5% 01 Dec 2035

 

UNITED STATES

 

192,205

 

 

 

208,686

 

 

 

FNMA POOL 995266

 

5% 01 Dec 2023

 

UNITED STATES

 

32,367

 

 

 

35,048

 

 

 

FNMA POOL 995526

 

5% 01 Jan 2019

 

UNITED STATES

 

138,589

 

 

 

150,279

 

 

 

FNMA POOL 995692

 

4.5% 01 May 2024

 

UNITED STATES

 

65,187

 

 

 

70,158

 

 

 

FNMA POOL 995703

 

4% 01 May 2024

 

UNITED STATES

 

294,509

 

 

 

315,544

 

 

 

FNMA POOL 995838

 

5.5% 01 May 2039

 

UNITED STATES

 

265,235

 

 

 

288,227

 

 

 

FNMA POOL AA0107

 

6% 01 Nov 2038

 

UNITED STATES

 

279,389

 

 

 

311,990

 

 

 

FNMA POOL AA1657

 

4% 01 Feb 2024

 

UNITED STATES

 

11,005

 

 

 

11,791

 

 

 

FNMA POOL AA2210

 

4% 01 Apr 2024

 

UNITED STATES

 

90,099

 

 

 

96,535

 

 

 

FNMA POOL AA5564

 

4% 01 Jun 2024

 

UNITED STATES

 

319,880

 

 

 

342,728

 

 

 

FNMA POOL AA5781

 

5% 01 Apr 2039

 

UNITED STATES

 

331,596

 

 

 

359,201

 

 

 

FNMA POOL AA6378

 

4.5% 01 Jun 2024

 

UNITED STATES

 

340,671

 

 

 

366,601

 

 

 

FNMA POOL AA6832

 

4% 01 May 2024

 

UNITED STATES

 

195,600

 

 

 

209,571

 

 

 

FNMA POOL AA6931

 

4% 01 Aug 2024

 

UNITED STATES

 

115,169

 

 

 

123,395

 

 

 

FNMA POOL AA7895

 

4% 01 Jun 2024

 

UNITED STATES

 

285,374

 

 

 

305,758

 

 

 

FNMA POOL AA8487

 

4.5% 01 Jul 2039

 

UNITED STATES

 

2,643,571

 

 

 

2,856,550

 

 

 

FNMA POOL AA8868

 

5% 01 Apr 2024

 

UNITED STATES

 

44,184

 

 

 

47,837

 

 

 

FNMA POOL AA9443

 

4.5% 01 Jul 2024

 

UNITED STATES

 

103,785

 

 

 

111,684

 

 

 

FNMA POOL AA9591

 

5.5% 01 Apr 2039

 

UNITED STATES

 

48,616

 

 

 

52,822

 

 

 

FNMA POOL AA9782

 

4% 01 Jul 2024

 

UNITED STATES

 

182,218

 

 

 

195,233

 

 

 

FNMA POOL AA9845

 

4.5% 01 Aug 2039

 

UNITED STATES

 

982,647

 

 

 

1,061,814

 

 

 

FNMA POOL AB0299

 

6% 01 Feb 2037

 

UNITED STATES

 

266,873

 

 

 

293,344

 

 

 

FNMA POOL AB1766

 

3.5% 01 Nov 2025

 

UNITED STATES

 

17,277

 

 

 

18,338

 

 

 

FNMA POOL AB2054

 

3.5% 01 Jan 2026

 

UNITED STATES

 

533,975

 

 

 

566,775

 

 

 

FNMA POOL AB3453

 

4% 01 Aug 2041

 

UNITED STATES

 

1,051,519

 

 

 

1,145,429

 

 

 

FNMA POOL AC0380

 

4.5% 01 Jul 2039

 

UNITED STATES

 

547,168

 

 

 

591,251

 

 

 

FNMA POOL AC0756

 

4.5% 01 Sep 2024

 

UNITED STATES

 

226,899

 

 

 

244,169

 

 

 

FNMA POOL AC2489

 

4.5% 01 Jul 2024

 

UNITED STATES

 

581,129

 

 

 

625,362

 

 

 

FNMA POOL AC3434

 

4% 01 Nov 2024

 

UNITED STATES

 

207,363

 

 

 

222,175

 

 

 

FNMA POOL AC5302

 

6.5% 01 Nov 2039

 

UNITED STATES

 

8,237

 

 

 

9,379

 

 

 

FNMA POOL AC5695

 

4.5% 01 Dec 2039

 

UNITED STATES

 

1,245,057

 

 

 

1,345,364

 

 

 

FNMA POOL AC6795

 

4.5% 01 Dec 2039

 

UNITED STATES

 

375,137

 

 

 

405,360

 

 

 

FNMA POOL AC6897

 

4.5% 01 Dec 2024

 

UNITED STATES

 

467,020

 

 

 

502,567

 

 

 

FNMA POOL AC8512

 

4.5% 01 Dec 2039

 

UNITED STATES

 

1,179,648

 

 

 

1,274,686

 

 

 

FNMA POOL AC9419

 

4% 01 Mar 2025

 

UNITED STATES

 

506,178

 

 

 

542,175

 

 

 

FNMA POOL AC9708

 

4% 01 Feb 2025

 

UNITED STATES

 

586,004

 

 

 

627,861

 

 

 

FNMA POOL AD0255

 

6% 01 Jun 2039

 

UNITED STATES

 

19,077

 

 

 

20,844

 

 

 

FNMA POOL AD0447

 

6% 01 Jun 2039

 

UNITED STATES

 

200,392

 

 

 

219,391

 

 

 

FNMA POOL AD0527

 

5.5% 01 Jun 2039

 

UNITED STATES

 

1,334,343

 

 

 

1,450,012

 

 

 

FNMA POOL AD0662

 

5.5% 01 Jan 2025

 

UNITED STATES

 

430,396

 

 

 

465,475

 

 

 

FNMA POOL AD1753

 

4% 01 Jan 2025

 

UNITED STATES

 

147,041

 

 

 

157,544

 

 

 

FNMA POOL AD2381

 

4.5% 01 Mar 2040

 

UNITED STATES

 

623,651

 

 

 

675,844

 

 

 

FNMA POOL AD3808

 

4.5% 01 Apr 2040

 

UNITED STATES

 

506,198

 

 

 

548,562

 

 

 

FNMA POOL AD3859

 

4% 01 Mar 2025

 

UNITED STATES

 

62,361

 

 

 

66,796

 

 

 

FNMA POOL AD6388

 

4% 01 May 2025

 

UNITED STATES

 

223,312

 

 

 

239,192

 

 

 

FNMA POOL AD7371

 

5% 01 Jul 2040

 

UNITED STATES

 

462,046

 

 

 

502,821

 

 

 

FNMA POOL AD7771

 

4% 01 Jul 2025

 

UNITED STATES

 

434,540

 

 

 

465,442

 

 

 

FNMA POOL AD8266

 

4.5% 01 Sep 2025

 

UNITED STATES

 

83,226

 

 

 

89,807

 

 

 

FNMA POOL AD8950

 

5% 01 Jul 2040

 

UNITED STATES

 

367,291

 

 

 

403,491

 

 

 

FNMA POOL AD9194

 

5% 01 Aug 2040

 

UNITED STATES

 

418,892

 

 

 

457,087

 

 

 

FNMA POOL AD9746

 

3.5% 01 Dec 2025

 

UNITED STATES

 

542,620

 

 

 

575,951

 

 

 

FNMA POOL AE0025

 

5.5% 01 Jan 2040

 

UNITED STATES

 

245,453

 

 

 

266,730

 

 

 

FNMA POOL AE0233

 

5.5% 01 Jul 2039

 

UNITED STATES

 

809,661

 

 

 

885,466

 

 

 

FNMA POOL AE0267

 

4% 01 Aug 2025

 

UNITED STATES

 

224,154

 

 

 

240,095

 

 

 

FNMA POOL AE0408

 

4.5% 01 Mar 2025

 

UNITED STATES

 

106,417

 

 

 

114,533

 

 

 

FNMA POOL AE0880

 

6.5% 01 May 2040

 

UNITED STATES

 

319,896

 

 

 

359,213

 

 

 

FNMA POOL AE1475

 

4% 01 Aug 2025

 

UNITED STATES

 

224,013

 

 

 

239,944

 

 

 

FNMA POOL AE1856

 

4.5% 01 Aug 2040

 

UNITED STATES

 

369,477

 

 

 

400,398

 

 

 

FNMA POOL AE2977

 

4% 01 Aug 2025

 

UNITED STATES

 

141,116

 

 

 

151,151

 

 

 

FNMA POOL AE4778

 

4.5% 01 Sep 2040

 

UNITED STATES

 

274,213

 

 

 

297,162

 

 

 

FNMA POOL AE5546

 

4% 01 Sep 2025

 

UNITED STATES

 

820,437

 

 

 

878,782

 

 

 

FNMA POOL AE5745

 

5% 01 Feb 2034

 

UNITED STATES

 

184,709

 

 

 

201,240

 

 

 

FNMA POOL AE6508

 

3.5% 01 Oct 2025

 

UNITED STATES

 

11,697

 

 

 

12,415

 

 

 

FNMA POOL AE7019

 

3.5% 01 Nov 2025

 

UNITED STATES

 

661,974

 

 

 

702,637

 

 

 

FNMA POOL AE7758

 

3.5% 01 Nov 2025

 

UNITED STATES

 

148,097

 

 

 

157,194

 

 

 

FNMA POOL AE8886

 

3.5% 01 Dec 2025

 

UNITED STATES

 

515,048

 

 

 

546,686

 

 

 

FNMA POOL AE9059

 

6% 01 Feb 2033

 

UNITED STATES

 

851,712

 

 

 

951,627

 

 

 

FNMA POOL AH0297

 

4% 01 Dec 2040

 

UNITED STATES

 

1,090,918

 

 

 

1,170,619

 

 

 

FNMA POOL AH1114

 

4% 01 Dec 2040

 

UNITED STATES

 

1,002,937

 

 

 

1,092,508

 

 

 

FNMA POOL AH2767

 

4.5% 01 Jul 2041

 

UNITED STATES

 

716,168

 

 

 

777,447

 

 

 

FNMA POOL AH4106

 

4% 01 Mar 2041

 

UNITED STATES

 

561,636

 

 

 

602,669

 

 

 

FNMA POOL AH4776

 

4% 01 Feb 2041

 

UNITED STATES

 

522,894

 

 

 

561,096

 

 

 

FNMA POOL AH4874

 

4% 01 Feb 2041

 

UNITED STATES

 

773,488

 

 

 

830,239

 

 

 

FNMA POOL AH5620

 

4% 01 Feb 2026

 

UNITED STATES

 

311,853

 

 

 

334,128

 

 

 

FNMA POOL AH5801

 

3.5% 01 Feb 2026

 

UNITED STATES

 

220,886

 

 

 

234,455

 

 

 

FNMA POOL AH6221

 

4.5% 01 Mar 2041

 

UNITED STATES

 

789,356

 

 

 

856,897

 

 

 

FNMA POOL AH6301

 

4% 01 May 2026

 

UNITED STATES

 

492,090

 

 

 

527,238

 

 

 

FNMA POOL AH7449

 

4.5% 01 Jun 2041

 

UNITED STATES

 

362,322

 

 

 

393,324

 

 

 

FNMA POOL AH8076

 

5% 01 Jun 2041

 

UNITED STATES

 

982,293

 

 

 

1,072,356

 

 

 

FNMA POOL AH9034

 

4% 01 Mar 2026

 

UNITED STATES

 

294,065

 

 

 

315,069

 

 

 

FNMA POOL AH9052

 

4% 01 Apr 2041

 

UNITED STATES

 

183,249

 

 

 

196,694

 

 

 

FNMA POOL AI1058

 

4.5% 01 Jun 2041

 

UNITED STATES

 

505,402

 

 

 

548,646

 

 

 

FNMA POOL AI1186

 

4% 01 Apr 2041

 

UNITED STATES

 

1,929,110

 

 

 

2,070,651

 

 

 

FNMA POOL AI1740

 

3.5% 01 Aug 2026

 

UNITED STATES

 

990,323

 

 

 

1,051,156

 

 

 

FNMA POOL AI3435

 

4% 01 May 2026

 

UNITED STATES

 

715,303

 

 

 

766,395

 

 

 

FNMA POOL AI3661

 

5% 01 May 2041

 

UNITED STATES

 

405,000

 

 

 

442,133

 

 

 

FNMA POOL AI4052

 

4% 01 Sep 2026

 

UNITED STATES

 

359,869

 

 

 

385,573

 

 

 

FNMA POOL AI4815

 

4.5% 01 Jun 2041

 

UNITED STATES

 

381,098

 

 

 

413,706

 

 

 

FNMA POOL AI6643

 

4.5% 01 Aug 2041

 

UNITED STATES

 

2,056,245

 

 

 

2,232,186

 

 

 

FNMA POOL AI8069

 

4% 01 Oct 2041

 

UNITED STATES

 

691,436

 

 

 

742,168

 

 

 

FNMA POOL AJ0062

 

3% 01 Nov 2026

 

UNITED STATES

 

1,139,091

 

 

 

1,203,201

 

 

 

FNMA POOL AJ0303

 

3.5% 01 Aug 2026

 

UNITED STATES

 

579,893

 

 

 

615,514

 

 

 

FNMA POOL AJ2735

 

4% 01 Nov 2041

 

UNITED STATES

 

742,706

 

 

 

797,199

 

 

 

FNMA POOL AJ3591

 

4% 01 Oct 2041

 

UNITED STATES

 

22,076

 

 

 

23,696

 

 

 

FNMA POOL AJ3802

 

4% 01 Nov 2041

 

UNITED STATES

 

117,226

 

 

 

125,827

 

 

 

FNMA POOL AJ5186

 

3.5% 01 Nov 2026

 

UNITED STATES

 

715,182

 

 

 

759,113

 

 

 

FNMA POOL AJ5303

 

4% 01 Nov 2041

 

UNITED STATES

 

813,282

 

 

 

872,953

 

 

 

FNMA POOL AJ5705

 

4% 01 Dec 2041

 

UNITED STATES

 

754,389

 

 

 

809,739

 

 

 

FNMA POOL AJ6483

 

3.5% 01 Nov 2026

 

UNITED STATES

 

2,224,404

 

 

 

2,361,043

 

 

 

FNMA POOL AJ9303

 

4% 01 Jan 2042

 

UNITED STATES

 

1,920,000

 

 

 

2,084,273

 

 

 

FNMA POOL AK0685

 

4% 01 Jan 2042

 

UNITED STATES

 

781,412

 

 

 

843,594

 

 

 

FNMA POOL AL0060

 

5% 01 Apr 2021

 

UNITED STATES

 

200,867

 

 

 

218,290

 

 

 

FNMA POOL AL0071

 

5% 01 May 2040

 

UNITED STATES

 

645,288

 

 

 

699,007

 

 

 

FNMA POOL AL0102

 

5.5% 01 Jan 2025

 

UNITED STATES

 

151,471

 

 

 

164,101

 

 

 

FNMA POOL AL0408

 

5.5% 01 Jun 2026

 

UNITED STATES

 

1,885,112

 

 

 

2,030,511

 

 

 

FNMA POOL AL0414

 

5.5% 01 Sep 2040

 

UNITED STATES

 

422,201

 

 

 

458,800

 

 

 

FNMA POOL AL0443

 

5% 01 Apr 2029

 

UNITED STATES

 

838,154

 

 

 

902,460

 

 

 

FNMA POOL AL0520

 

5.5% 01 Jul 2041

 

UNITED STATES

 

690,155

 

 

 

749,981

 

 

 

FNMA POOL AL1176

 

6.5% 01 Oct 2039

 

UNITED STATES

 

395,469

 

 

 

444,008

 

 

 

FNMA POOL AL1547

 

4.5% 01 Nov 2041

 

UNITED STATES

 

1,206,301

 

 

 

1,309,518

 

 

 

FNMA POOL AL2195

 

5.5% 01 May 2025

 

UNITED STATES

 

365,360

 

 

 

395,824

 

 

 

FNMA POOL AO0144

 

4% 01 Apr 2042

 

UNITED STATES

 

81,198

 

 

 

88,120

 

 

 

FNMA POOL MA0515

 

3.5% 01 Sep 2025

 

UNITED STATES

 

555,942

 

 

 

590,092

 

 

106



Table of Contents

 

 

 

FNMA POOL MA0537

 

4.5% 01 Oct 2040

 

UNITED STATES

 

1,802,223

 

 

 

1,953,050

 

 

 

FNMA POOL MA0546

 

3.5% 01 Oct 2025

 

UNITED STATES

 

439,970

 

 

 

466,996

 

 

 

FNMA POOL MA0665

 

4% 01 Feb 2041

 

UNITED STATES

 

2,805,647

 

 

 

3,010,624

 

 

 

FNMA POOL MA0790

 

4.5% 01 Jul 2041

 

UNITED STATES

 

99,461

 

 

 

107,972

 

 

 

FNMA POOL MA1034

 

3.5% 01 Apr 2027

 

UNITED STATES

 

202,085

 

 

 

215,951

 

 

 

FNMA TBA 15 YR

 

3% 01 Dec 2099

 

UNITED STATES

 

9,900,000

 

 

 

10,449,141

 

 

 

FNMA TBA 30YR SINGLE FAMILY JA

 

3.5% 01 Dec 2099

 

UNITED STATES

 

22,195,000

 

 

 

23,662,818

 

 

 

FNMA TBA 3PCT JAN 30 SINGLE FA

 

3% 01 Dec 2099

 

UNITED STATES

 

8,065,000

 

 

 

8,450,608

 

 

 

FNMA TBA SINGLE FAMILY MORTGAG

 

4% 01 Dec 2099

 

UNITED STATES

 

8,780,000

 

 

 

9,411,063

 

 

 

FORD MOTOR CREDIT CO LLC

 

3% 12 Jun 2017

 

UNITED STATES

 

2,520,000

 

 

 

2,589,111

 

 

 

FREDDIE MAC

 

2.5% 27 May 2016

 

UNITED STATES

 

160,000

 

 

 

175,612

 

 

 

FREDDIE MAC

 

5.05% 26 Jan 2015

 

UNITED STATES

 

1,965,000

 

 

 

2,052,786

 

 

 

FREDDIE MAC

 

5.4% 17 Mar 2021

 

UNITED STATES

 

3,220,000

 

 

 

3,231,740

 

 

 

FREDDIE MAC

 

3.75% 27 Mar 2019

 

UNITED STATES

 

1,040,000

 

 

 

1,202,155

 

 

 

FREDDIE MAC

 

1.75% 30 May 2019

 

UNITED STATES

 

50,000

 

 

 

57,644

 

 

 

FREDDIE MAC

 

6.25% 15 Jul 2032

 

UNITED STATES

 

180,000

 

 

 

276,639

 

 

 

FREDDIE MAC

 

5% 13 Nov 2014

 

UNITED STATES

 

935,000

 

 

 

997,602

 

 

 

FREDDIE MAC

 

5.625% 23 Nov 2035

 

UNITED STATES

 

740,000

 

 

 

765,501

 

 

 

FREDDIE MAC

 

0.625% 29 Dec 2014

 

UNITED STATES

 

860,000

 

 

 

1,279,978

 

 

 

FREDDIE MAC

 

2.375% 13 Jan 2022

 

UNITED STATES

 

1,200,000

 

 

 

1,196,489

 

 

 

FREDDIE MAC

 

0.55% 27 Feb 2015

 

UNITED STATES

 

100,000

 

 

 

108,403

 

 

 

FREDDIE MAC

 

1.25% 02 Oct 2019

 

UNITED STATES

 

75,000

 

 

 

84,579

 

 

 

FREDDIE MAC

 

6.75% 15 Mar 2031

 

UNITED STATES

 

12,895,000

 

 

 

12,978,327

 

 

 

GENERAL DYNAMICS CORP

 

1% 15 Nov 2017

 

UNITED STATES

 

2,780,000

 

 

 

2,764,754

 

 

 

GENERAL DYNAMICS CORP

 

2.25% 15 Nov 2022

 

UNITED STATES

 

1,200,000

 

 

 

1,174,302

 

 

 

GENERAL ELEC CAP CORP

 

6.75% 15 Mar 2032

 

UNITED STATES

 

825,000

 

 

 

995,158

 

 

 

GENERAL ELEC CAP CORP

 

5.875% 14 Jan 2038

 

UNITED STATES

 

2,985,000

 

 

 

3,876,721

 

 

 

GENERAL ELEC CAP CORP

 

3.15% 07 Sep 2022

 

UNITED STATES

 

2,400,000

 

 

 

2,572,116

 

 

 

GENERAL ELEC CAP CORP

 

5.9% 13 May 2014

 

UNITED STATES

 

1,600,000

 

 

 

1,634,709

 

 

 

GNMA I  TBA SEP 30 SINGLE FAM

 

6% 01 Dec 2099

 

UNITED STATES

 

2,325,000

 

 

 

2,626,097

 

 

 

GNMA II JUMBOS 3.5 30 YRS

 

3.5% 01 Dec 2099

 

UNITED STATES

 

15,935,000

 

 

 

17,313,129

 

 

 

GNMA II POOL 004098

 

5.5% 20 Mar 2038

 

UNITED STATES

 

351,892

 

 

 

386,216

 

 

 

GNMA II POOL 004561

 

6% 20 Oct 2039

 

UNITED STATES

 

114,345

 

 

 

127,899

 

 

 

GNMA II POOL 004774

 

6% 20 Aug 2040

 

UNITED STATES

 

109,350

 

 

 

122,311

 

 

 

GNMA II POOL 004804

 

6% 20 Sep 2040

 

UNITED STATES

 

150,373

 

 

 

168,666

 

 

 

GNMA II POOL 004905

 

6% 20 Dec 2040

 

UNITED STATES

 

368,702

 

 

 

414,708

 

 

 

GNMA II POOL 004928

 

6% 20 Jan 2041

 

UNITED STATES

 

490,812

 

 

 

550,521

 

 

 

GNMA II POOL 004978

 

4.5% 20 Mar 2041

 

UNITED STATES

 

766,478

 

 

 

843,331

 

 

 

GNMA II POOL 004991

 

6% 20 Mar 2041

 

UNITED STATES

 

43,835

 

 

 

49,167

 

 

 

GNMA II POOL 005017

 

4.5% 20 Apr 2041

 

UNITED STATES

 

2,319,256

 

 

 

2,541,273

 

 

 

GNMA II POOL 005055

 

4.5% 20 May 2041

 

UNITED STATES

 

1,797,601

 

 

 

1,983,056

 

 

 

GNMA II POOL 005057

 

5.5% 20 May 2041

 

UNITED STATES

 

324,624

 

 

 

356,289

 

 

 

GNMA II POOL 005082

 

4.5% 20 Jun 2041

 

UNITED STATES

 

2,050,053

 

 

 

2,254,992

 

 

 

GNMA II POOL 005115

 

4.5% 20 Jul 2041

 

UNITED STATES

 

259,903

 

 

 

285,885

 

 

 

GNMA II POOL 005140

 

4.5% 20 Aug 2041

 

UNITED STATES

 

2,430,703

 

 

 

2,681,473

 

 

 

GNMA II POOL 005204

 

4.5% 20 Oct 2041

 

UNITED STATES

 

1,504,915

 

 

 

1,660,174

 

 

 

GNMA II POOL 005260

 

4.5% 20 Dec 2041

 

UNITED STATES

 

1,804,610

 

 

 

1,990,788

 

 

 

GNMA II POOL 005281

 

4.5% 20 Jan 2042

 

UNITED STATES

 

2,819,725

 

 

 

3,087,733

 

 

 

GNMA II POOL 005306

 

4.5% 20 Feb 2042

 

UNITED STATES

 

308,125

 

 

 

339,913

 

 

 

GNMA II POOL 782909

 

5.5% 20 Sep 2039

 

UNITED STATES

 

1,200,179

 

 

 

1,311,727

 

 

 

GNMA II POOL 782913

 

5.5% 20 Nov 2039

 

UNITED STATES

 

1,037,422

 

 

 

1,133,842

 

 

 

GNMA II POOL 783229

 

5.5% 20 Dec 2040

 

UNITED STATES

 

2,235,525

 

 

 

2,453,584

 

 

 

GNMA II POOL MA0023

 

4% 20 Apr 2042

 

UNITED STATES

 

2,175,100

 

 

 

2,369,778

 

 

 

GNMA II POOL MA0089

 

4% 20 May 2042

 

UNITED STATES

 

1,658,108

 

 

 

1,806,530

 

 

 

GNMA II POOL MA0090

 

4.5% 20 May 2042

 

UNITED STATES

 

1,007,297

 

 

 

1,111,218

 

 

 

GNMA II POOL MA0155

 

4% 20 Jun 2042

 

UNITED STATES

 

1,972,952

 

 

 

2,149,537

 

 

 

GNMA II POOL MA0221

 

4% 20 Jul 2042

 

UNITED STATES

 

2,402,218

 

 

 

2,617,223

 

 

 

GNMA II TBA JAN 30 JUMBOS

 

4% 01 Dec 2099

 

UNITED STATES

 

7,140,000

 

 

 

7,774,791

 

 

 

GNMA II TBA JAN 30 JUMBOS

 

4.5% 01 Dec 2099

 

UNITED STATES

 

4,365,000

 

 

 

4,778,993

 

 

 

GNMA POOL 475810

 

6.5% 15 Aug 2028

 

UNITED STATES

 

35,864

 

 

 

42,155

 

 

 

GNMA POOL 615278

 

5% 15 Jul 2033

 

UNITED STATES

 

2,154,407

 

 

 

2,399,899

 

 

 

GNMA POOL 618700

 

6.5% 15 Sep 2036

 

UNITED STATES

 

3,763

 

 

 

4,418

 

 

 

GNMA POOL 645990

 

6.5% 15 Oct 2036

 

UNITED STATES

 

122,109

 

 

 

143,757

 

 

 

GNMA POOL 646541

 

6.5% 15 Aug 2036

 

UNITED STATES

 

21,156

 

 

 

24,907

 

 

 

GNMA POOL 657982

 

6.5% 15 Oct 2036

 

UNITED STATES

 

4,180

 

 

 

4,906

 

 

 

GNMA POOL 697488

 

6% 15 Sep 2038

 

UNITED STATES

 

435,918

 

 

 

486,633

 

 

 

GNMA POOL 698342

 

5% 15 May 2039

 

UNITED STATES

 

750,610

 

 

 

821,716

 

 

 

GNMA POOL 700978

 

6% 15 Nov 2038

 

UNITED STATES

 

139,375

 

 

 

155,591

 

 

 

GNMA POOL 704170

 

5.5% 15 Jan 2039

 

UNITED STATES

 

251,452

 

 

 

275,940

 

 

 

GNMA POOL 704182

 

5% 15 Jan 2039

 

UNITED STATES

 

3,276,426

 

 

 

3,586,802

 

 

 

GNMA POOL 714130

 

5% 15 Sep 2039

 

UNITED STATES

 

438,146

 

 

 

479,652

 

 

 

GNMA POOL 729038

 

5% 15 Feb 2040

 

UNITED STATES

 

1,301,220

 

 

 

1,431,397

 

 

 

GNMA POOL 733018

 

6% 15 Jan 2040

 

UNITED STATES

 

125,319

 

 

 

140,525

 

 

 

GNMA POOL 733603

 

5% 15 Apr 2040

 

UNITED STATES

 

1,575,336

 

 

 

1,727,521

 

 

 

GNMA POOL 738423

 

5% 15 Jun 2041

 

UNITED STATES

 

97,924

 

 

 

106,833

 

 

 

GNMA POOL 745134

 

5% 15 Jun 2040

 

UNITED STATES

 

1,641,810

 

 

 

1,806,061

 

 

 

GNMA POOL 749368

 

5% 15 Apr 2041

 

UNITED STATES

 

514,305

 

 

 

561,097

 

 

 

GNMA POOL 782369

 

6% 15 Jul 2038

 

UNITED STATES

 

148,099

 

 

 

165,329

 

 

 

GNMA POOL 782449

 

6% 15 Sep 2038

 

UNITED STATES

 

611,957

 

 

 

683,154

 

 

 

GNMA POOL 783292

 

6% 15 Dec 2040

 

UNITED STATES

 

293,107

 

 

 

327,208

 

 

 

GNMA POOL 783622

 

6% 15 Jun 2041

 

UNITED STATES

 

318,441

 

 

 

355,490

 

 

 

GOLDMAN SACHS GROUP INC

 

6.25% 01 Feb 2041

 

UNITED STATES

 

3,150,000

 

 

 

3,334,347

 

 

 

GOLDMAN SACHS GROUP INC

 

6.15% 01 Apr 2018

 

UNITED STATES

 

950,000

 

 

 

1,165,575

 

 

 

GOLDMAN SACHS GROUP INC

 

6.75% 01 Oct 2037

 

UNITED STATES

 

635,000

 

 

 

745,978

 

 

 

GOLDMAN SACHS GROUP INC

 

3.625% 07 Feb 2016

 

UNITED STATES

 

1,000,000

 

 

 

1,133,327

 

 

 

GOOGLE INC

 

2.125% 19 May 2016

 

UNITED STATES

 

1,165,000

 

 

 

1,216,495

 

 

 

GOVERNMENT NATL MTG ASSN

 

3% 01 Dec 2099

 

UNITED STATES

 

2,935,000

 

 

 

3,120,272

 

 

 

GS MORTGAGE SECURITIES TRUST

 

5.791096% 10 Aug 2045

 

UNITED STATES

 

1,400,000

 

 

 

1,614,815

 

 

 

GS MORTGAGE SECURITIES TRUST

 

5.56% 10 Nov 2039

 

UNITED STATES

 

2,000,000

 

 

 

2,305,812

 

 

 

HARTFORD FINL SVCS GRP

 

5.375% 15 Mar 2017

 

UNITED STATES

 

1,100,000

 

 

 

1,242,835

 

 

 

HCP INC

 

3.75% 01 Feb 2016

 

UNITED STATES

 

1,000,000

 

 

 

1,061,333

 

 

 

HESS CORP

 

5.6% 15 Feb 2041

 

UNITED STATES

 

390,000

 

 

 

461,244

 

 

 

HEWLETT PACKARD CO

 

6.125% 01 Mar 2014

 

UNITED STATES

 

1,030,000

 

 

 

1,082,754

 

 

 

HEWLETT PACKARD CO

 

2.6% 15 Sep 2017

 

UNITED STATES

 

1,975,000

 

 

 

1,923,958

 

 

 

HOME DEPOT INC

 

5.875% 16 Dec 2036

 

UNITED STATES

 

800,000

 

 

 

1,051,363

 

 

 

HONEYWELL INTERNATIONAL

 

5.375% 01 Mar 2041

 

UNITED STATES

 

1,000,000

 

 

 

1,280,248

 

 

 

ILLINOIS ST

 

4.421% 01 Jan 2015

 

UNITED STATES

 

1,030,000

 

 

 

1,091,955

 

 

 

INGREDION INC

 

4.625% 01 Nov 2020

 

UNITED STATES

 

875,000

 

 

 

977,003

 

 

 

INTEL CORP

 

1.95% 01 Oct 2016

 

UNITED STATES

 

890,000

 

 

 

919,463

 

 

 

JOHN DEERE CAPITAL CORP

 

2.25% 07 Jun 2016

 

UNITED STATES

 

1,025,000

 

 

 

1,072,419

 

 

 

JOHN DEERE CAPITAL CORP

 

1.2% 10 Oct 2017

 

UNITED STATES

 

2,295,000

 

 

 

2,298,592

 

 

 

JOHNSON + JOHNSON

 

5.85% 15 Jul 2038

 

UNITED STATES

 

575,000

 

 

 

788,194

 

 

 

JP MORGAN CHASE COMMERCIAL MOR

 

5.688% 12 Feb 2051

 

UNITED STATES

 

3,000,000

 

 

 

3,452,862

 

 

 

JP MORGAN CHASE COMMERCIAL MOR

 

5.44% 12 Jun 2047

 

UNITED STATES

 

1,341,968

 

 

 

1,471,696

 

 

 

JP MORGAN MORTGAGE ACQUISITION

 

0.5002% 25 Jul 2036

 

UNITED STATES

 

2,845,000

 

 

 

64,627

 

 

 

JPMORGAN CHASE + CO

 

1.1% 15 Oct 2015

 

UNITED STATES

 

4,300,000

 

 

 

4,470,160

 

 

 

JPMORGAN CHASE + CO

 

5.5% 15 Oct 2040

 

UNITED STATES

 

2,525,000

 

 

 

2,524,922

 

 

 

JPMORGAN CHASE + CO

 

2.6% 15 Jan 2016

 

UNITED STATES

 

1,465,000

 

 

 

1,790,897

 

 

 

KENTUCKY UTILITIES

 

5.125% 01 Nov 2040

 

UNITED STATES

 

1,370,000

 

 

 

1,660,236

 

 

 

KIMBERLY CLARK CORP

 

3.875% 01 Mar 2021

 

UNITED STATES

 

880,000

 

 

 

985,634

 

 

 

KINDER MORGAN ENER PART

 

6.95% 15 Jan 2038

 

UNITED STATES

 

650,000

 

 

 

855,312

 

 

 

KRAFT FOODS GROUP INC

 

3.5% 06 Jun 2022

 

UNITED STATES

 

1,600,000

 

 

 

1,707,787

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU

 

5.3% 15 Nov 2038

 

UNITED STATES

 

1,048,140

 

 

 

1,074,910

 

 

 

LINCOLN NATIONAL CORP

 

4.3% 15 Jun 2015

 

UNITED STATES

 

1,110,000

 

 

 

1,194,066

 

 

107



Table of Contents

 

 

 

LOCKHEED MARTIN CORP

 

3.35% 15 Sep 2021

 

UNITED STATES

 

1,200,000

 

 

 

1,268,107

 

 

 

LORILLARD TOBACCO CO

 

8.125% 23 Jun 2019

 

UNITED STATES

 

1,360,000

 

 

 

1,735,398

 

 

 

LOWE S COMPANIES INC

 

2.125% 15 Apr 2016

 

UNITED STATES

 

1,665,000

 

 

 

1,727,208

 

 

 

MARATHON OIL CORP

 

2.8% 01 Nov 2022

 

UNITED STATES

 

1,845,000

 

 

 

1,856,432

 

 

 

MARATHON PETROLEUM CORP

 

3.5% 01 Mar 2016

 

UNITED STATES

 

1,000,000

 

 

 

1,064,509

 

 

 

MCKESSON CORP

 

3.25% 01 Mar 2016

 

UNITED STATES

 

1,470,000

 

 

 

1,575,697

 

 

 

MERCK + CO INC

 

2.4% 15 Sep 2022

 

UNITED STATES

 

1,700,000

 

 

 

1,700,556

 

 

 

MET TRANSPRTN AUTH NY REVENUE

 

6.814% 15 Nov 2040

 

UNITED STATES

 

990,000

 

 

 

1,308,572

 

 

 

METLIFE INC

 

4.75% 08 Feb 2021

 

UNITED STATES

 

1,100,000

 

 

 

1,277,234

 

 

 

MIDAMERICAN ENERGY HLDGS

 

6.125% 01 Apr 2036

 

UNITED STATES

 

1,035,000

 

 

 

1,306,523

 

 

 

MOLSON COORS BREWING CO

 

3.5% 01 May 2022

 

UNITED STATES

 

1,600,000

 

 

 

1,689,184

 

 

 

MONDELEZ INTERNATIONAL

 

6.125% 01 Feb 2018

 

UNITED STATES

 

1,290,000

 

 

 

1,569,635

 

 

 

MORGAN STANLEY

 

6.625% 01 Apr 2018

 

UNITED STATES

 

2,500,000

 

 

 

2,863,060

 

 

 

MORGAN STANLEY

 

5.375% 15 Oct 2015

 

UNITED STATES

 

1,244,633

 

 

 

764

 

 

 

MORGAN STANLEY CAPITAL I TRUST

 

5.328% 12 Nov 2041

 

UNITED STATES

 

3,610,000

 

 

 

4,254,656

 

 

 

MORGAN STANLEY CAPITAL INC

 

1% 25 Oct 2036

 

UNITED STATES

 

1,600,000

 

 

 

1,739,490

 

 

 

NATIONAL RURAL UTIL COOP

 

3.05% 15 Feb 2022

 

UNITED STATES

 

1,200,000

 

 

 

1,258,888

 

 

 

NBCUNIVERSAL MEDIA LLC

 

3.65% 30 Apr 2015

 

UNITED STATES

 

370,000

 

 

 

393,612

 

 

 

NEW CENTURY HOME EQUITY LOAN T

 

1% 25 May 2036

 

UNITED STATES

 

2,695,000

 

 

 

16,499

 

 

 

NEW JERSEY ST TURNPIKE AUTH

 

7.102% 01 Jan 2041

 

UNITED STATES

 

955,000

 

 

 

1,376,470

 

 

 

NEWS AMERICA INC

 

6.15% 01 Mar 2037

 

UNITED STATES

 

750,000

 

 

 

920,449

 

 

 

NORDSTROM INC

 

4.75% 01 May 2020

 

UNITED STATES

 

935,000

 

 

 

1,085,493

 

 

 

NORFOLK SOUTHERN CORP

 

6% 15 Mar 2105

 

UNITED STATES

 

1,605,000

 

 

 

1,951,632

 

 

 

NOVARTIS CAPITAL CORP

 

2.4% 21 Sep 2022

 

UNITED STATES

 

1,925,000

 

 

 

1,930,192

 

 

 

OHIO POWER COMPANY

 

5.375% 01 Oct 2021

 

UNITED STATES

 

1,005,000

 

 

 

1,217,812

 

 

 

ONEOK PARTNERS LP

 

3.25% 01 Feb 2016

 

UNITED STATES

 

1,090,000

 

 

 

1,149,989

 

 

 

ORACLE CORP

 

5.375% 15 Jul 2040

 

UNITED STATES

 

500,000

 

 

 

608,503

 

 

 

ORACLE CORP

 

5.75% 15 Apr 2018

 

UNITED STATES

 

650,000

 

 

 

810,438

 

 

 

PACIFIC GAS + ELECTRIC

 

3.5% 01 Oct 2020

 

UNITED STATES

 

1,060,000

 

 

 

1,161,880

 

 

 

PEPSICO INC

 

4% 05 Mar 2042

 

UNITED STATES

 

1,385,000

 

 

 

1,432,532

 

 

 

PFIZER INC

 

6.2% 15 Mar 2019

 

UNITED STATES

 

1,365,000

 

 

 

1,725,327

 

 

 

PHILIP MORRIS INTL INC

 

2.5% 22 Aug 2022

 

UNITED STATES

 

1,500,000

 

 

 

1,506,893

 

 

 

PHILLIPS 66

 

2.95% 01 May 2017

 

UNITED STATES

 

1,990,000

 

 

 

2,109,076

 

 

 

PNC FUNDING CORP

 

3.625% 08 Feb 2015

 

UNITED STATES

 

1,730,000

 

 

 

1,831,394

 

 

 

PORT AUTH OF NEW YORK   NEW JE

 

4.926% 01 Oct 2051

 

UNITED STATES

 

655,000

 

 

 

725,773

 

 

 

PROGRESS ENERGY INC

 

4.4% 15 Jan 2021

 

UNITED STATES

 

985,000

 

 

 

1,097,966

 

*

 

PRUDENTIAL FINANCIAL INC

 

6.2% 15 Nov 2040

 

UNITED STATES

 

910,000

 

 

 

962,815

 

*

 

PRUDENTIAL FINANCIAL INC

 

3.875% 14 Jan 2015

 

UNITED STATES

 

1,000,000

 

 

 

1,209,603

 

 

 

PUBLIC SERVICE COLORADO

 

3.2% 15 Nov 2020

 

UNITED STATES

 

945,000

 

 

 

1,031,037

 

 

 

QWEST CORP

 

6.75% 01 Dec 2021

 

UNITED STATES

 

2,040,000

 

 

 

2,390,813

 

 

 

RAYTHEON COMPANY

 

3.125% 15 Oct 2020

 

UNITED STATES

 

1,015,000

 

 

 

1,079,859

 

 

 

REPUBLIC SERVICES INC

 

5.25% 15 Nov 2021

 

UNITED STATES

 

550,000

 

 

 

648,230

 

 

 

REYNOLDS AMERICAN INC

 

3.25% 01 Nov 2022

 

UNITED STATES

 

2,075,000

 

 

 

2,084,327

 

 

 

SCANA CORPORATION

 

4.75% 15 May 2021

 

UNITED STATES

 

1,020,000

 

 

 

1,120,593

 

 

 

SIMON PROPERTY GROUP LP

 

5.25% 01 Dec 2016

 

UNITED STATES

 

800,000

 

 

 

915,310

 

 

 

SOUTHERN CAL EDISON

 

3.875% 01 Jun 2021

 

UNITED STATES

 

1,085,000

 

 

 

1,224,197

 

 

 

SOUTHERN CALIF GAS CO

 

5.125% 15 Nov 2040

 

UNITED STATES

 

700,000

 

 

 

866,327

 

 

 

SOUTHERN CO

 

2.375% 15 Sep 2015

 

UNITED STATES

 

1,625,000

 

 

 

1,692,286

 

 

 

SOUTHERN POWER CO

 

4.875% 15 Jul 2015

 

UNITED STATES

 

1,000,000

 

 

 

1,095,345

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

UNITED STATES

 

59,043,625

 

 

 

59,043,625

 

 

 

TARGET CORP

 

4% 01 Jul 2042

 

UNITED STATES

 

1,600,000

 

 

 

1,643,806

 

 

 

TBA FHLMC GOLD CONV

 

3% 01 Dec 2099

 

UNITED STATES

 

3,120,000

 

 

 

3,261,863

 

 

 

TC PIPELINES LP

 

4.65% 15 Jun 2021

 

UNITED STATES

 

960,000

 

 

 

1,020,806

 

 

 

TENN VALLEY AUTHORITY

 

4.65% 15 Jun 2035

 

UNITED STATES

 

50,000

 

 

 

68,077

 

 

 

TENN VALLEY AUTHORITY

 

5.375% 01 Apr 2056

 

UNITED STATES

 

100,000

 

 

 

109,576

 

 

 

TENN VALLEY AUTHORITY

 

4.375% 15 Jun 2015

 

UNITED STATES

 

65,000

 

 

 

77,754

 

 

 

TENN VALLEY AUTHORITY

 

6.75% 01 Nov 2025

 

UNITED STATES

 

150,000

 

 

 

219,047

 

 

 

TEXAS INSTRUMENTS INC

 

2.375% 16 May 2016

 

UNITED STATES

 

1,165,000

 

 

 

1,219,283

 

 

 

TIME WARNER CABLE INC

 

5.85% 01 May 2017

 

UNITED STATES

 

2,205,000

 

 

 

2,604,806

 

 

 

TIME WARNER INC

 

5.875% 15 Nov 2016

 

UNITED STATES

 

705,000

 

 

 

823,477

 

 

 

TIME WARNER INC

 

5.375% 15 Oct 2041

 

UNITED STATES

 

775,000

 

 

 

865,716

 

 

 

TIME WARNER INC

 

4.875% 15 Mar 2020

 

UNITED STATES

 

800,000

 

 

 

936,713

 

 

 

TOYOTA MOTOR CREDIT CORP

 

2.8% 11 Jan 2016

 

UNITED STATES

 

1,335,000

 

 

 

1,404,480

 

 

 

TRAVELERS COS INC

 

3.9% 01 Nov 2020

 

UNITED STATES

 

1,625,000

 

 

 

1,835,584

 

 

 

UNITED PARCEL SERVICE

 

4.875% 15 Nov 2040

 

UNITED STATES

 

1,515,000

 

 

 

1,757,770

 

 

 

US DOLLAR

 

 

 

UNITED STATES

 

(4,093)

 

 

 

(4,093)

 

 

 

US TREASURY N/B

 

3.875% 15 Aug 2040

 

UNITED STATES

 

20,400,000

 

 

 

20,570,524

 

 

 

US TREASURY N/B

 

1.875% 30 Sep 2017

 

UNITED STATES

 

53,040,000

 

 

 

53,023,452

 

 

 

US TREASURY N/B

 

0.5% 15 Oct 2013

 

UNITED STATES

 

3,610,000

 

 

 

3,657,381

 

 

 

US TREASURY N/B

 

2.625% 15 Nov 2020

 

UNITED STATES

 

7,975,000

 

 

 

9,080,909

 

 

 

US TREASURY N/B

 

1.5% 30 Nov 2015

 

UNITED STATES

 

1,015,000

 

 

 

1,040,137

 

 

 

US TREASURY N/B

 

1% 15 Jan 2014

 

UNITED STATES

 

5,015,000

 

 

 

5,186,217

 

 

 

US TREASURY N/B

 

3.5% 15 Feb 2039

 

UNITED STATES

 

600,000

 

 

 

868,219

 

 

 

US TREASURY N/B

 

4.375% 15 May 2040

 

UNITED STATES

 

24,360,000

 

 

 

27,538,225

 

 

 

US TREASURY N/B

 

8.875% 15 Aug 2017

 

UNITED STATES

 

11,895,000

 

 

 

13,036,183

 

 

 

US TREASURY N/B

 

6.5% 15 Nov 2026

 

UNITED STATES

 

10,460,000

 

 

 

11,861,473

 

 

 

US TREASURY N/B

 

6% 15 Feb 2026

 

UNITED STATES

 

7,775,000

 

 

 

7,842,425

 

 

 

US TREASURY N/B

 

6.25% 15 Aug 2023

 

UNITED STATES

 

5,840,000

 

 

 

7,602,039

 

 

 

US TREASURY N/B

 

6.125% 15 Nov 2027

 

UNITED STATES

 

39,075,000

 

 

 

39,136,035

 

 

 

US TREASURY N/B

 

0.125% 31 Dec 2013

 

UNITED STATES

 

27,150,000

 

 

 

28,142,658

 

 

 

US TREASURY N/B

 

0.25% 15 Jan 2015

 

UNITED STATES

 

27,845,000

 

 

 

28,015,773

 

 

 

US TREASURY N/B

 

2% 15 Feb 2022

 

UNITED STATES

 

27,000,000

 

 

 

29,115,693

 

 

 

US TREASURY N/B

 

1.375% 28 Feb 2019

 

UNITED STATES

 

18,190,000

 

 

 

18,536,738

 

 

 

US TREASURY N/B

 

0.875% 28 Feb 2017

 

UNITED STATES

 

985,000

 

 

 

1,354,682

 

 

 

US TREASURY N/B

 

1.75% 15 May 2022

 

UNITED STATES

 

2,580,000

 

 

 

2,671,309

 

 

 

US TREASURY N/B

 

0.375% 15 Jun 2015

 

UNITED STATES

 

18,660,000

 

 

 

20,491,013

 

 

 

US TREASURY N/B

 

1.625% 15 Aug 2022

 

UNITED STATES

 

3,395,000

 

 

 

3,372,722

 

 

 

US TREASURY N/B

 

2.625% 30 Apr 2018

 

UNITED STATES

 

655,000

 

 

 

939,106

 

 

 

US TREASURY N/B

 

3.125% 15 May 2021

 

UNITED STATES

 

3,595,000

 

 

 

4,320,741

 

 

 

US TREASURY N/B

 

1.5% 30 Jun 2016

 

UNITED STATES

 

50,540,000

 

 

 

50,551,826

 

 

 

US TREASURY N/B

 

0.75% 15 Jul 2014

 

UNITED STATES

 

19,735,000

 

 

 

20,838,936

 

 

108



Table of Contents

 

 

 

US TREASURY N/B

 

1% 31 Aug 2016

 

UNITED STATES

 

10,225,000

 

 

 

10,510,983

 

 

 

US TREASURY N/B

 

1.5% 31 Aug 2018

 

UNITED STATES

 

12,600,000

 

 

 

12,607,875

 

 

 

US TREASURY N/B

 

0.25% 15 Sep 2014

 

UNITED STATES

 

25,000,000

 

 

 

25,064,450

 

 

 

US TREASURY N/B

 

1.375% 30 Sep 2018

 

UNITED STATES

 

22,105,000

 

 

 

22,526,366

 

 

 

US TREASURY N/B

 

1% 31 Oct 2016

 

UNITED STATES

 

24,300,000

 

 

 

24,700,561

 

 

 

US TREASURY N/B

 

0.25% 31 Oct 2013

 

UNITED STATES

 

140,000

 

 

 

144,113

 

 

 

US TREASURY N/B

 

2.625% 15 Aug 2020

 

UNITED STATES

 

8,770,000

 

 

 

9,625,075

 

 

 

US TREASURY N/B

 

2.375% 31 Jul 2017

 

UNITED STATES

 

4,910,000

 

 

 

7,456,297

 

 

 

US TREASURY N/B

 

3.125% 15 Nov 2041

 

UNITED STATES

 

1,595,000

 

 

 

2,369,572

 

 

 

US TREASURY N/B

 

3.5% 15 Feb 2018

 

UNITED STATES

 

10,025,000

 

 

 

10,493,358

 

 

 

US TREASURY N/B

 

2% 30 Nov 2013

 

UNITED STATES

 

13,800,000

 

 

 

13,791,375

 

 

 

VALERO ENERGY CORP

 

6.625% 15 Jun 2037

 

UNITED STATES

 

600,000

 

 

 

739,225

 

 

 

VERIZON COMMUNICATIONS

 

6.35% 01 Apr 2019

 

UNITED STATES

 

945,000

 

 

 

1,194,277

 

 

 

VERIZON COMMUNICATIONS

 

7.75% 01 Dec 2030

 

UNITED STATES

 

2,240,000

 

 

 

2,240,748

 

 

 

VERIZON COMMUNICATIONS

 

4.75% 01 Nov 2041

 

UNITED STATES

 

700,000

 

 

 

793,995

 

 

 

VERIZON COMMUNICATIONS

 

2.45% 01 Nov 2022

 

UNITED STATES

 

800,000

 

 

 

1,171,270

 

 

 

VIACOM INC

 

2.5% 15 Dec 2016

 

UNITED STATES

 

1,100,000

 

 

 

1,146,940

 

 

 

WACHOVIA BANK COMMERCIAL MORTG

 

5.509% 15 Apr 2047

 

UNITED STATES

 

3,000,000

 

 

 

3,466,155

 

 

 

WAL MART STORES INC

 

5% 25 Oct 2040

 

UNITED STATES

 

840,000

 

 

 

1,089,511

 

 

 

WAL MART STORES INC

 

5.625% 01 Apr 2040

 

UNITED STATES

 

1,001,000

 

 

 

1,211,166

 

 

 

WALGREEN CO

 

1.8% 15 Sep 2017

 

UNITED STATES

 

1,215,000

 

 

 

1,221,771

 

 

 

WASHINGTON ST

 

5.14% 01 Aug 2040

 

UNITED STATES

 

1,080,000

 

 

 

1,331,521

 

 

 

WELLPOINT INC

 

3.3% 15 Jan 2023

 

UNITED STATES

 

1,400,000

 

 

 

1,436,407

 

 

 

WELLS FARGO + COMPANY

 

3.625% 15 Apr 2015

 

UNITED STATES

 

2,905,000

 

 

 

3,087,495

 

 

 

WILLIAMS PARTNERS LP

 

3.8% 15 Feb 2015

 

UNITED STATES

 

660,000

 

 

 

697,875

 

 

 

XEROX CORPORATION

 

4.5% 15 May 2021

 

UNITED STATES

 

1,100,000

 

 

 

1,164,732

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT D - Total Bond Market Fund

 

 

 

 

 

$

1,385,858,718

 

 


 

 

n / a - Cost is not applicable

 

109



Table of Contents

 

EXHIBIT E - Real Estate Investment Trust (REIT) Index Fund

(Managed by BlackRock Institutional Trust Company)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

ACADIA REALTY TRUST

 

REIT USD.001

 

UNITED STATES

 

114,436

 

 

 

$

2,870,055

 

 

 

ALEXANDER S INC

 

REIT USD1.

 

UNITED STATES

 

4,768

 

 

 

1,577,254

 

 

 

ALEXANDRIA REAL ESTATE EQUIT

 

REIT USD.01

 

UNITED STATES

 

145,849

 

 

 

10,110,253

 

 

 

AMERICAN ASSETS TRUST INC

 

REIT USD.01

 

UNITED STATES

 

77,960

 

 

 

2,177,423

 

 

 

AMERICAN CAMPUS COMMUNITIES

 

REIT USD.01

 

UNITED STATES

 

243,254

 

 

 

11,221,307

 

 

 

AMERICAN REALTY CAPITAL TRUS

 

REIT

 

UNITED STATES

 

368,835

 

 

 

4,260,044

 

 

 

APARTMENT INVT + MGMT CO A

 

REIT USD.01

 

UNITED STATES

 

338,223

 

 

 

9,152,314

 

 

 

ASHFORD HOSPITALITY TRUST

 

REIT USD.01

 

UNITED STATES

 

151,662

 

 

 

1,593,968

 

 

 

ASSOCIATED ESTATES REALTY CP

 

REIT USD.1

 

UNITED STATES

 

114,836

 

 

 

1,851,156

 

 

 

AVALONBAY COMMUNITIES INC

 

REIT USD.01

 

UNITED STATES

 

260,457

 

 

 

35,315,365

 

 

 

BIOMED REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

358,436

 

 

 

6,928,568

 

 

 

BOSTON PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

349,821

 

 

 

37,014,560

 

 

 

BRANDYWINE REALTY TRUST

 

REIT USD.01

 

UNITED STATES

 

333,844

 

 

 

4,069,558

 

 

 

BRE PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

178,202

 

 

 

9,058,008

 

 

 

CAMDEN PROPERTY TRUST

 

REIT USD.01

 

UNITED STATES

 

194,145

 

 

 

13,242,630

 

 

 

CAMPUS CREST COMMUNITIES INC

 

REIT USD.01

 

UNITED STATES

 

90,603

 

 

 

1,110,793

 

 

 

CAPLEASE INC

 

REIT USD.01

 

UNITED STATES

 

147,176

 

 

 

819,770

 

 

 

CBL + ASSOCIATES PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

350,106

 

 

 

7,425,748

 

 

 

CEDAR REALTY TRUST INC

 

REIT USD.06

 

UNITED STATES

 

144,010

 

 

 

760,373

 

 

 

CHESAPEAKE LODGING TRUST

 

REIT USD.01

 

UNITED STATES

 

90,327

 

 

 

1,886,028

 

 

 

COLONIAL PROPERTIES TRUST

 

REIT USD.01

 

UNITED STATES

 

194,042

 

 

 

4,146,678

 

 

 

COMMONWEALTH REIT

 

REIT USD.01

 

UNITED STATES

 

195,133

 

 

 

3,090,907

 

 

 

CORESITE REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

49,526

 

 

 

1,369,889

 

 

 

CORPORATE OFFICE PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

184,855

 

 

 

4,617,678

 

 

 

COUSINS PROPERTIES INC

 

REIT USD1.

 

UNITED STATES

 

219,137

 

 

 

1,829,794

 

 

 

CUBESMART

 

REIT USD.01

 

UNITED STATES

 

271,645

 

 

 

3,957,868

 

 

 

DCT INDUSTRIAL TRUST INC

 

REIT USD.01

 

UNITED STATES

 

620,710

 

 

 

4,028,408

 

 

 

DDR CORP

 

REIT USD.1

 

UNITED STATES

 

565,399

 

 

 

8,854,148

 

 

 

DIAMONDROCK HOSPITALITY CO

 

REIT USD.01

 

UNITED STATES

 

454,288

 

 

 

4,088,592

 

 

 

DIGITAL REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

283,267

 

 

 

19,230,997

 

 

 

DJ US REAL ESTATE IDX FUTURES

 

MAR13 XCBT

 

UNITED STATES

 

18,300

 

 

 

54,348

 

 

 

DOUGLAS EMMETT INC

 

REIT USD.01

 

UNITED STATES

 

308,021

 

 

 

7,176,889

 

 

 

DUKE REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

626,739

 

 

 

8,692,870

 

 

 

DUPONT FABROS TECHNOLOGY

 

REIT USD.001

 

UNITED STATES

 

146,873

 

 

 

3,548,452

 

 

 

EASTGROUP PROPERTIES INC

 

REIT NPV

 

UNITED STATES

 

67,952

 

 

 

3,656,497

 

 

 

EDUCATION REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

257,018

 

 

 

2,734,672

 

 

 

EPR PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

108,678

 

 

 

5,011,143

 

 

 

EQUITY LIFESTYLE PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

91,310

 

 

 

6,144,250

 

 

 

EQUITY ONE INC

 

REIT USD.01

 

UNITED STATES

 

137,955

 

 

 

2,898,435

 

 

 

EQUITY RESIDENTIAL

 

REIT USD.01

 

UNITED STATES

 

746,394

 

 

 

42,298,148

 

 

 

ESSEX PROPERTY TRUST INC

 

REIT USD.0001

 

UNITED STATES

 

84,586

 

 

 

12,404,537

 

 

 

EXCEL TRUST INC

 

REIT USD.01

 

UNITED STATES

 

100,682

 

 

 

1,275,641

 

 

 

EXTRA SPACE STORAGE INC

 

REIT USD.01

 

UNITED STATES

 

241,785

 

 

 

8,798,556

 

 

 

FEDERAL REALTY INVS TRUST

 

REIT USD.01

 

UNITED STATES

 

148,887

 

 

 

15,487,226

 

 

 

FELCOR LODGING TRUST INC

 

REIT USD.01

 

UNITED STATES

 

276,980

 

 

 

1,293,497

 

 

 

FIRST INDUSTRIAL REALTY TR

 

REIT USD.01

 

UNITED STATES

 

217,667

 

 

 

3,064,751

 

 

 

FIRST POTOMAC REALTY TRUST

 

REIT USD.001

 

UNITED STATES

 

119,584

 

 

 

1,478,058

 

 

 

FRANKLIN STREET PROPERTIES C

 

REIT USD.0001

 

UNITED STATES

 

173,198

 

 

 

2,132,067

 

 

 

GENERAL GROWTH PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

979,686

 

 

 

19,446,767

 

 

 

GETTY REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

62,764

 

 

 

1,133,518

 

 

 

GLIMCHER REALTY TRUST

 

REIT USD.01

 

UNITED STATES

 

325,177

 

 

 

3,606,213

 

 

 

GOVERNMENT PROPERTIES INCOME

 

REIT USD.01

 

UNITED STATES

 

108,332

 

 

 

2,596,718

 

 

 

HCP INC

 

REIT USD1.

 

UNITED STATES

 

1,051,122

 

 

 

47,489,692

 

 

 

HEALTH CARE REIT INC

 

REIT USD1.

 

UNITED STATES

 

591,977

 

 

 

36,282,270

 

 

 

HEALTHCARE REALTY TRUST INC

 

REIT USD.01

 

UNITED STATES

 

200,104

 

 

 

4,804,497

 

 

 

HEALTHCARE TRUST OF AME CL A

 

REIT USD.01

 

UNITED STATES

 

99,900

 

 

 

989,010

 

 

 

HERSHA HOSPITALITY TRUST

 

REIT USD.01

 

UNITED STATES

 

417,382

 

 

 

2,086,910

 

 

 

HIGHWOODS PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

168,128

 

 

 

5,623,882

 

 

 

HOME PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

115,996

 

 

 

7,111,715

 

 

 

HOSPITALITY PROPERTIES TRUST

 

REIT USD.01

 

UNITED STATES

 

286,708

 

 

 

6,714,701

 

 

 

HOST HOTELS + RESORTS INC

 

REIT USD.01

 

UNITED STATES

 

1,677,531

 

 

 

26,286,911

 

 

 

HUDSON PACIFIC PROPERTIES IN

 

REIT USD.01

 

UNITED STATES

 

82,843

 

 

 

1,744,674

 

 

 

INLAND REAL ESTATE CORP

 

REIT USD.01

 

UNITED STATES

 

207,023

 

 

 

1,734,853

 

 

 

INVESTORS REAL ESTATE TRUST

 

REIT NPV

 

UNITED STATES

 

214,315

 

 

 

1,870,970

 

 

 

KILROY REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

171,549

 

 

 

8,126,276

 

 

 

KIMCO REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

944,273

 

 

 

18,243,354

 

 

 

KITE REALTY GROUP TRUST

 

REIT USD.01

 

UNITED STATES

 

167,802

 

 

 

938,013

 

 

 

LASALLE HOTEL PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

219,980

 

 

 

5,585,292

 

 

 

LEXINGTON REALTY TRUST

 

REIT USD.0001

 

UNITED STATES

 

357,403

 

 

 

3,734,861

 

 

 

LIBERTY PROPERTY TRUST

 

REIT USD.001

 

UNITED STATES

 

272,744

 

 

 

9,756,053

 

 

 

LTC PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

70,650

 

 

 

2,486,174

 

 

 

MACERICH CO/THE

 

REIT USD.01

 

UNITED STATES

 

308,888

 

 

 

18,008,170

 

 

 

MACK CALI REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

204,276

 

 

 

5,333,646

 

 

 

MEDICAL PROPERTIES TRUST INC

 

REIT USD.001

 

UNITED STATES

 

314,573

 

 

 

3,762,293

 

 

 

MID AMERICA APARTMENT COMM

 

REIT USD.01

 

UNITED STATES

 

95,581

 

 

 

6,188,870

 

 

 

MONMOUTH REIT CLASS A

 

REIT USD.01

 

UNITED STATES

 

75,079

 

 

 

777,818

 

 

 

NATIONAL RETAIL PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

251,454

 

 

 

7,845,365

 

 

 

NATL HEALTH INVESTORS INC

 

REIT USD.01

 

UNITED STATES

 

54,889

 

 

 

3,102,875

 

 

 

OMEGA HEALTHCARE INVESTORS

 

REIT USD.1

 

UNITED STATES

 

252,728

 

 

 

6,027,563

 

 

 

PARKWAY PROPERTIES INC

 

REIT USD.001

 

UNITED STATES

 

83,138

 

 

 

1,163,101

 

 

 

PEBBLEBROOK HOTEL TRUST

 

REIT USD.01

 

UNITED STATES

 

137,412

 

 

 

3,174,217

 

 

 

PENN REAL ESTATE INVEST TST

 

REIT USD1.

 

UNITED STATES

 

123,462

 

 

 

2,177,870

 

 

 

PIEDMONT OFFICE REALTY TRU A

 

REIT USD.01

 

UNITED STATES

 

391,903

 

 

 

7,073,849

 

 

 

POST PROPERTIES INC

 

REIT USD.01

 

UNITED STATES

 

125,753

 

 

 

6,281,362

 

 

 

PROLOGIS INC

 

REIT USD.01

 

UNITED STATES

 

1,069,307

 

 

 

39,019,012

 

 

 

PS BUSINESS PARKS INC/CA

 

REIT USD.01

 

UNITED STATES

 

45,009

 

 

 

2,924,685

 

 

 

PUBLIC STORAGE

 

REIT USD.1

 

UNITED STATES

 

338,466

 

 

 

49,064,031

 

 

 

RAMCO GERSHENSON PROPERTIES

 

REIT USD.01

 

UNITED STATES

 

108,492

 

 

 

1,444,029

 

 

 

REALTY INCOME CORP

 

REIT USD1.

 

UNITED STATES

 

309,963

 

 

 

12,463,612

 

 

 

REGENCY CENTERS CORP

 

REIT USD.01

 

UNITED STATES

 

208,967

 

 

 

9,846,525

 

 

110



Table of Contents

 

 

 

RETAIL OPPORTUNITY INVESTMEN

 

REIT USD.0001

 

UNITED STATES

 

119,870

 

 

 

1,541,528

 

 

 

RETAIL PROPERTIES OF AME A

 

REIT USD.001

 

UNITED STATES

 

198,480

 

 

 

2,375,806

 

 

 

RLJ LODGING TRUST

 

REIT

 

UNITED STATES

 

223,371

 

 

 

4,326,696

 

 

 

ROUSE PROPERTIES INC

 

REIT

 

UNITED STATES

 

46,556

 

 

 

787,728

 

 

 

SABRA HEALTH CARE REIT INC

 

REIT USD.01

 

UNITED STATES

 

85,971

 

 

 

1,867,290

 

 

 

SAUL CENTERS INC

 

REIT USD.01

 

UNITED STATES

 

27,566

 

 

 

1,179,549

 

 

 

SELECT INCOME REIT

 

REIT USD.01

 

UNITED STATES

 

40,872

 

 

 

1,012,399

 

 

 

SENIOR HOUSING PROP TRUST

 

REIT USD.01

 

UNITED STATES

 

410,059

 

 

 

9,693,795

 

 

 

SIMON PROPERTY GROUP INC

 

REIT USD.0001

 

UNITED STATES

 

703,832

 

 

 

111,268,801

 

 

 

SL GREEN REALTY CORP

 

REIT USD.01

 

UNITED STATES

 

209,185

 

 

 

16,034,030

 

 

 

SOVRAN SELF STORAGE INC

 

REIT USD.01

 

UNITED STATES

 

68,332

 

 

 

4,243,417

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

UNITED STATES

 

2,221,980

 

 

 

2,113,284

 

 

 

STAG INDUSTRIAL INC

 

REIT USD.01

 

UNITED STATES

 

80,218

 

 

 

1,441,517

 

 

 

STRATEGIC HOTELS + RESORTS I

 

REIT USD.01

 

UNITED STATES

 

379,253

 

 

 

2,427,219

 

 

 

SUMMIT HOTEL PROPERTIES INC

 

REIT

 

UNITED STATES

 

102,408

 

 

 

972,876

 

 

 

SUN COMMUNITIES INC

 

REIT USD.01

 

UNITED STATES

 

65,543

 

 

 

2,614,510

 

 

 

SUNSTONE HOTEL INVESTORS INC

 

REIT USD.01

 

UNITED STATES

 

318,661

 

 

 

3,412,859

 

 

 

TANGER FACTORY OUTLET CENTER

 

REIT USD.01

 

UNITED STATES

 

218,244

 

 

 

7,463,945

 

 

 

TAUBMAN CENTERS INC

 

REIT USD.01

 

UNITED STATES

 

135,273

 

 

 

10,648,691

 

 

 

TREASURY BILL

 

0.01% 21 Mar 2013

 

UNITED STATES

 

360,000

 

 

 

359,961

 

 

 

UDR INC

 

REIT USD.01

 

UNITED STATES

 

580,560

 

 

 

13,805,717

 

 

 

UNIVERSAL HEALTH RLTY INCOME

 

REIT USD.01

 

UNITED STATES

 

27,960

 

 

 

1,415,056

 

 

 

URSTADT BIDDLE CLASS A

 

REIT USD.01

 

UNITED STATES

 

54,433

 

 

 

1,071,241

 

 

 

US DOLLAR

 

 

 

UNITED STATES

 

(35,575

)

 

 

(35,575

)

 

 

VANGUARD REIT ETF

 

VANGUARD REIT ETF

 

UNITED STATES

 

150,611

 

 

 

9,910,204

 

 

 

VENTAS INC

 

REIT USD.25

 

UNITED STATES

 

685,369

 

 

 

44,357,082

 

 

 

VORNADO REALTY TRUST

 

REIT USD.04

 

UNITED STATES

 

388,209

 

 

 

31,087,777

 

 

 

WASHINGTON REIT

 

REIT USD.01

 

UNITED STATES

 

154,386

 

 

 

4,037,194

 

 

 

WEINGARTEN REALTY INVESTORS

 

REIT USD.03

 

UNITED STATES

 

267,294

 

 

 

7,155,460

 

 

 

WHITESTONE REIT

 

REIT USD.001

 

UNITED STATES

 

38,551

 

 

 

541,642

 

 

 

WINTHROP REALTY TRUST

 

REIT USD1.

 

UNITED STATES

 

69,075

 

 

 

763,279

 

 

 

WP CAREY INC

 

REIT NPV

 

UNITED STATES

 

71,582

 

 

 

3,733,001

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT E - Real Estate Investment Trust (REIT) Index Fund

 

 

 

 

 

$

1,053,510,365

 

 


 

 

n / a - Cost is not applicable

 

111



Table of Contents

 

EXHIBIT F - Long-Term Corporate Bond Fund

(Managed by Neuberger Berman)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

BARRICK PD AU FIN PTY LT

 

5.95% 15 Oct 2039

 

AUSTRALIA

 

775,000

 

 

 

$

895,077

 

 

 

BHP BILLITON FIN USA LTD

 

4.125% 24 Feb 2042

 

AUSTRALIA

 

485,000

 

 

 

514,916

 

 

 

RIO TINTO FIN USA LTD

 

7.125% 15 Jul 2028

 

AUSTRALIA

 

1,125,000

 

 

 

1,525,023

 

 

 

EXPRESS SCRIPTS HOLDING

 

6.125% 15 Nov 2041

 

BRAZIL

 

2,225,000

 

 

 

2,681,125

 

 

 

FED REPUBLIC OF BRAZIL

 

5.625% 07 Jan 2041

 

BRAZIL

 

4,990,000

 

 

 

6,536,900

 

 

 

VALE SA

 

5.625% 11 Sep 2042

 

BRAZIL

 

2,215,000

 

 

 

2,404,604

 

 

 

BRITISH COLUMBIA PROV OF

 

2% 23 Oct 2022

 

CANADA

 

645,000

 

 

 

635,601

 

 

 

CANADIAN NATL RAILWAY

 

6.2% 01 Jun 2036

 

CANADA

 

750,000

 

 

 

1,023,989

 

 

 

CANADIAN NATL RESOURCES

 

6.25% 15 Mar 2038

 

CANADA

 

1,100,000

 

 

 

1,417,132

 

 

 

ECOLAB INC

 

5.5% 08 Dec 2041

 

CANADA

 

1,650,000

 

 

 

2,026,162

 

 

 

ENCANA CORP

 

6.5% 15 Aug 2034

 

CANADA

 

1,625,000

 

 

 

1,764,981

 

 

 

HUSKY ENERGY INC

 

6.8% 15 Sep 2037

 

CANADA

 

520,000

 

 

 

687,680

 

 

 

POTASH CORP SASKATCHEWAN

 

5.875% 01 Dec 2036

 

CANADA

 

370,000

 

 

 

459,442

 

 

 

PROVINCE OF QUEBEC

 

7.5% 15 Sep 2029

 

CANADA

 

2,150,000

 

 

 

3,267,594

 

 

 

ROGERS COMMUNICATIONS IN

 

7.5% 15 Aug 2038

 

CANADA

 

1,020,000

 

 

 

1,487,719

 

 

 

SUNCOR ENERGY INC

 

6.5% 15 Jun 2038

 

CANADA

 

2,685,000

 

 

 

3,581,240

 

 

 

TALISMAN ENERGY

 

7.75% 01 Jun 2019

 

CANADA

 

700,000

 

 

 

902,222

 

 

 

TECK RESOURCES LIMITED

 

6.25% 15 Jul 2041

 

CANADA

 

1,100,000

 

 

 

1,293,892

 

 

 

TRANS CANADA PIPELINES

 

7.625% 15 Jan 2039

 

CANADA

 

1,535,000

 

 

 

2,309,185

 

 

 

PETROBRAS INTL FIN CO

 

6.75% 27 Jan 2041

 

CAYMAN ISLANDS

 

875,000

 

 

 

1,111,569

 

 

 

PETROBRAS INTL FIN CO

 

6.875% 20 Jan 2040

 

CAYMAN ISLANDS

 

885,000

 

 

 

1,121,372

 

 

 

FRANCE TELECOM

 

5.375% 13 Jan 2042

 

FRANCE

 

800,000

 

 

 

923,673

 

 

 

PERNOD RICARD SA

 

5.5% 15 Jan 2042

 

FRANCE

 

1,410,000

 

 

 

1,643,156

 

 

 

KFW

 

2% 04 Oct 2022

 

GERMANY

 

1,000,000

 

 

 

1,002,143

 

 

 

INTL BK RECON + DEVELOP

 

7.625% 19 Jan 2023

 

INTERNATIONAL

 

500,000

 

 

 

748,725

 

 

 

INTL BK RECON + DEVELOP

 

4.75% 15 Feb 2035

 

INTERNATIONAL

 

445,000

 

 

 

565,626

 

 

 

ITALY GOV T INT BOND

 

5.375% 15 Jun 2033

 

ITALY

 

950,000

 

 

 

956,010

 

 

 

SUMITOMO MITSUI BANKING

 

3.2% 18 Jul 2022

 

JAPAN

 

390,000

 

 

 

399,819

 

 

 

COVIDIEN INTL FINANCE SA

 

6.55% 15 Oct 2037

 

LUXEMBOURG

 

250,000

 

 

 

349,435

 

 

 

TELECOM ITALIA CAPITAL

 

7.2% 18 Jul 2036

 

LUXEMBOURG

 

1,255,000

 

 

 

1,310,220

 

 

 

AMERICA MOVIL SAB DE CV

 

6.125% 30 Mar 2040

 

MEXICO

 

1,335,000

 

 

 

1,756,386

 

 

 

COMISION FED DE ELECTRIC

 

5.75% 14 Feb 2042

 

MEXICO

 

1,500,000

 

 

 

1,698,750

 

 

 

PETROLEOS MEXICANOS

 

0% 02 Jun 2041

 

MEXICO

 

2,500,000

 

 

 

3,137,500

 

 

 

UNITED MEXICAN STATES

 

6.05% 11 Jan 2040

 

MEXICO

 

1,600,000

 

 

 

2,145,600

 

 

 

UNITED MEXICAN STATES

 

3.625% 15 Mar 2022

 

MEXICO

 

1,300,000

 

 

 

1,421,875

 

 

 

UNITED MEXICAN STATES

 

6.75% 27 Sep 2034

 

MEXICO

 

3,895,000

 

 

 

5,608,800

 

 

 

DEUTSCHE TELEKOM INT FIN

 

8.75% 15 Jun 2030

 

NETHERLANDS

 

1,000,000

 

 

 

1,498,245

 

 

 

HEINEKEN NV

 

2.75% 01 Apr 2023

 

NETHERLANDS

 

1,700,000

 

 

 

1,669,206

 

 

 

PHILIPS ELECTRONICS NV

 

5% 15 Mar 2042

 

NETHERLANDS

 

770,000

 

 

 

879,563

 

 

 

STATOIL ASA

 

5.1% 17 Aug 2040

 

NORWAY

 

440,000

 

 

 

530,131

 

 

 

REPUBLIC OF PERU

 

6.55% 14 Mar 2037

 

PERU

 

2,525,000

 

 

 

3,648,625

 

 

 

REPUBLIC OF SOUTH AFRICA

 

6.25% 08 Mar 2041

 

SOUTH AFRICA

 

725,000

 

 

 

960,625

 

 

 

TELEFONICA EMISIONES SAU

 

7.045% 20 Jun 2036

 

SPAIN

 

900,000

 

 

 

972,000

 

 

 

ERAC USA FINANCE LLC

 

6.7% 01 Jun 2034

 

SWEDEN

 

1,700,000

 

 

 

1,766,802

 

 

 

ASTRAZENECA PLC

 

4% 18 Sep 2042

 

UNITED KINGDOM

 

900,000

 

 

 

1,218,907

 

 

 

ASTRAZENECA PLC

 

6.45% 15 Sep 2037

 

UNITED KINGDOM

 

1,400,000

 

 

 

1,416,038

 

 

 

BP CAPITAL MARKETS PLC

 

3.245% 06 May 2022

 

UNITED KINGDOM

 

1,300,000

 

 

 

1,369,559

 

 

 

BRITISH TELECOM PLC

 

9.625% 15 Dec 2030

 

UNITED KINGDOM

 

500,000

 

 

 

794,340

 

 

 

GLAXOSMITHKLINE CAPITAL

 

2.85% 08 May 2022

 

UNITED KINGDOM

 

870,000

 

 

 

903,627

 

 

 

HSBC HOLDINGS PLC

 

5.1% 05 Apr 2021

 

UNITED KINGDOM

 

1,500,000

 

 

 

1,771,322

 

 

 

HSBC HOLDINGS PLC

 

6.5% 15 Sep 2037

 

UNITED KINGDOM

 

1,300,000

 

 

 

1,622,646

 

 

 

RIO TINTO FIN USA PLC

 

4.125% 21 Aug 2042

 

UNITED KINGDOM

 

820,000

 

 

 

834,228

 

 

 

VODAFONE GROUP PLC

 

6.15% 27 Feb 2037

 

UNITED KINGDOM

 

1,405,000

 

 

 

1,858,358

 

 

 

ABB FINANCE USA INC

 

4.375% 08 May 2042

 

UNITED STATES

 

745,000

 

 

 

808,691

 

 

 

ABBVIE INC

 

4.4% 06 Nov 2042

 

UNITED STATES

 

3,915,000

 

 

 

4,162,170

 

 

 

ACTAVIS INC

 

3.25% 01 Oct 2022

 

UNITED STATES

 

690,000

 

 

 

704,385

 

 

 

ADT CORP

 

4.875% 15 Jul 2042

 

UNITED STATES

 

440,000

 

 

 

417,639

 

 

 

AETNA INC

 

6.625% 15 Jun 2036

 

UNITED STATES

 

1,110,000

 

 

 

1,164,586

 

 

 

AETNA INC

 

2.75% 15 Nov 2022

 

UNITED STATES

 

725,000

 

 

 

975,843

 

 

 

AETNA INC

 

4.5% 15 May 2042

 

UNITED STATES

 

2,060,000

 

 

 

2,043,040

 

 

 

ALCOA INC

 

5.95% 01 Feb 2037

 

UNITED STATES

 

750,000

 

 

 

724,486

 

 

 

ALTRIA GROUP INC

 

9.95% 10 Nov 2038

 

UNITED STATES

 

1,570,000

 

 

 

2,586,479

 

 

 

AMERICAN EXPRESS CO

 

4.05% 03 Dec 2042

 

UNITED STATES

 

587,000

 

 

 

589,636

 

 

 

AMERICAN INTL GROUP

 

6.4% 15 Dec 2020

 

UNITED STATES

 

850,000

 

 

 

1,093,414

 

 

 

AMERICAN INTL GROUP

 

6.25% 01 May 2036

 

UNITED STATES

 

1,500,000

 

 

 

1,861,197

 

 

 

AMERICAN MUNI PWR OHIO INC OH

 

8.084% 15 Feb 2050

 

UNITED STATES

 

1,000,000

 

 

 

1,468,830

 

 

 

AMGEN INC

 

6.375% 01 Jun 2037

 

UNITED STATES

 

1,250,000

 

 

 

1,618,323

 

 

 

AMGEN INC

 

6.4% 01 Feb 2039

 

UNITED STATES

 

840,000

 

 

 

990,384

 

 

 

AMGEN INC

 

5.15% 15 Nov 2041

 

UNITED STATES

 

400,000

 

 

 

503,195

 

 

 

AMGEN INC

 

5.375% 15 May 2043

 

UNITED STATES

 

755,000

 

 

 

849,651

 

 

 

ANADARKO PETROLEUM CORP

 

6.45% 15 Sep 2036

 

UNITED STATES

 

745,000

 

 

 

918,946

 

 

 

ANADARKO PETROLEUM CORP

 

6.2% 15 Mar 2040

 

UNITED STATES

 

1,170,000

 

 

 

1,465,737

 

 

 

ANHEUSER BUSCH INBEV WOR

 

3.75% 15 Jul 2042

 

UNITED STATES

 

750,000

 

 

 

1,042,029

 

 

 

ANHEUSER BUSCH INBEV WOR

 

6.375% 15 Jan 2040

 

UNITED STATES

 

945,000

 

 

 

950,916

 

 

 

ANHEUSER BUSCH INBEV WOR

 

2.5% 15 Jul 2022

 

UNITED STATES

 

1,545,000

 

 

 

1,552,143

 

 

 

APACHE CORP

 

5.25% 01 Feb 2042

 

UNITED STATES

 

1,330,000

 

 

 

1,327,505

 

 

 

APACHE CORP

 

4.75% 15 Oct 2042

 

UNITED STATES

 

1,100,000

 

 

 

1,273,661

 

 

 

APACHE CORP

 

2.625% 15 Jan 2023

 

UNITED STATES

 

1,465,000

 

 

 

1,594,809

 

 

 

APPLIED MATERIALS INC

 

5.85% 15 Jun 2041

 

UNITED STATES

 

540,000

 

 

 

658,899

 

 

 

AT+T INC

 

4.3% 15 Dec 2042

 

UNITED STATES

 

7,062,000

 

 

 

9,236,220

 

 

 

AT+T INC

 

5.35% 01 Sep 2040

 

UNITED STATES

 

1,773,000

 

 

 

2,064,744

 

 

 

AT+T INC

 

6.5% 01 Sep 2037

 

UNITED STATES

 

116,000

 

 

 

116,505

 

 

 

ATMOS ENERGY CORP

 

5.5% 15 Jun 2041

 

UNITED STATES

 

480,000

 

 

 

594,663

 

 

 

BANK OF AMERICA CORP

 

5.65% 01 May 2018

 

UNITED STATES

 

1,000,000

 

 

 

1,247,589

 

 

 

BANK OF AMERICA CORP

 

5.875% 07 Feb 2042

 

UNITED STATES

 

2,030,000

 

 

 

2,361,789

 

 

 

BARRICK NA FINANCE LLC

 

5.7% 30 May 2041

 

UNITED STATES

 

400,000

 

 

 

458,624

 

 

 

BAXTER INTERNATIONAL INC

 

3.65% 15 Aug 2042

 

UNITED STATES

 

1,250,000

 

 

 

1,226,841

 

 

 

BAY AREA CA TOLL AUTH TOLL BRI

 

7.043% 01 Apr 2050

 

UNITED STATES

 

1,250,000

 

 

 

1,822,175

 

 

 

BERKSHIRE HATHAWAY FIN

 

5.75% 15 Jan 2040

 

UNITED STATES

 

1,585,000

 

 

 

1,940,336

 

 

 

BOEING CO

 

6.875% 15 Mar 2039

 

UNITED STATES

 

840,000

 

 

 

1,280,367

 

 

112



Table of Contents

 

 

 

BRISTOL MYERS SQUIBB CO

 

5.875% 15 Nov 2036

 

UNITED STATES

 

460,000

 

 

 

593,992

 

 

 

BURLINGTN NORTH SANTA FE

 

4.375% 01 Sep 2042

 

UNITED STATES

 

225,000

 

 

 

277,385

 

 

 

BURLINGTN NORTH SANTA FE

 

7% 15 Dec 2025

 

UNITED STATES

 

1,640,000

 

 

 

1,723,701

 

 

 

BURLINGTN NORTH SANTA FE

 

5.75% 01 May 2040

 

UNITED STATES

 

500,000

 

 

 

679,328

 

 

 

CALIFORNIA INSTITUTE OF

 

4.7% 01 Nov 2111

 

UNITED STATES

 

760,000

 

 

 

825,831

 

 

 

CALIFORNIA ST

 

7.55% 01 Apr 2039

 

UNITED STATES

 

4,180,000

 

 

 

6,026,724

 

 

 

CATERPILLAR INC

 

3.803% 15 Aug 2042

 

UNITED STATES

 

1,382,000

 

 

 

1,376,838

 

 

 

CBS CORP

 

5.5% 15 May 2033

 

UNITED STATES

 

625,000

 

 

 

683,646

 

 

 

CBS CORP

 

5.9% 15 Oct 2040

 

UNITED STATES

 

1,505,000

 

 

 

1,756,406

 

 

 

CELGENE CORP

 

5.7% 15 Oct 2040

 

UNITED STATES

 

1,100,000

 

 

 

1,268,821

 

 

 

CHICAGO IL

 

5.432% 01 Jan 2042

 

UNITED STATES

 

2,500,000

 

 

 

2,564,100

 

 

 

CISCO SYSTEMS INC

 

5.5% 15 Jan 2040

 

UNITED STATES

 

890,000

 

 

 

1,131,141

 

 

 

CITIGROUP INC

 

5.875% 29 May 2037

 

UNITED STATES

 

2,135,000

 

 

 

2,569,206

 

 

 

CITIGROUP INC

 

8.125% 15 Jul 2039

 

UNITED STATES

 

2,130,000

 

 

 

3,188,855

 

 

 

COMCAST CORP

 

6.95% 15 Aug 2037

 

UNITED STATES

 

375,000

 

 

 

508,525

 

 

 

COMCAST CORP

 

6.5% 15 Nov 2035

 

UNITED STATES

 

1,565,000

 

 

 

2,007,970

 

 

 

CONOCOPHILLIPS

 

6.5% 01 Feb 2039

 

UNITED STATES

 

2,665,000

 

 

 

3,779,340

 

 

 

CONS EDISON CO OF NY

 

5.85% 15 Mar 2036

 

UNITED STATES

 

525,000

 

 

 

668,663

 

 

 

CONTL AIRLINES 2007 1

 

5.983% 19 Oct 2023

 

UNITED STATES

 

0

 

 

 

0

 

 

 

CONTL AIRLINES 2012 2 A

 

4% 29 Apr 2026

 

UNITED STATES

 

835,000

 

 

 

878,838

 

 

 

COX COMMUNICATIONS INC

 

8.375% 01 Mar 2039

 

UNITED STATES

 

1,140,000

 

 

 

1,749,499

 

 

 

CSX CORP

 

4.75% 30 May 2042

 

UNITED STATES

 

1,105,000

 

 

 

1,090,791

 

 

 

CSX CORP

 

6.15% 01 May 2037

 

UNITED STATES

 

650,000

 

 

 

821,760

 

 

 

CSX CORP

 

4.1% 15 Mar 2044

 

UNITED STATES

 

470,000

 

 

 

506,095

 

 

 

CVS CAREMARK CORP

 

6.25% 01 Jun 2027

 

UNITED STATES

 

1,510,000

 

 

 

1,993,778

 

 

 

DAIMLER FINANCE NA LLC

 

8.5% 18 Jan 2031

 

UNITED STATES

 

500,000

 

 

 

778,217

 

 

 

DALLAS TX AREA RAPID TRANSIT S

 

5.022% 01 Dec 2048

 

UNITED STATES

 

675,000

 

 

 

808,610

 

 

 

DEERE + COMPANY

 

3.9% 09 Jun 2042

 

UNITED STATES

 

1,915,000

 

 

 

1,957,222

 

 

 

DENVER CO PUBLIC SCHS COPS

 

7.017% 15 Dec 2037

 

UNITED STATES

 

450,000

 

 

 

603,711

 

 

 

DETROIT EDISON COMPANY

 

3.95% 15 Jun 2042

 

UNITED STATES

 

770,000

 

 

 

780,213

 

 

 

DEVON FINANCING CO LLC

 

7.875% 30 Sep 2031

 

UNITED STATES

 

1,350,000

 

 

 

1,963,464

 

 

 

DIAGEO INVESTMENT CORP

 

4.25% 11 May 2042

 

UNITED STATES

 

895,000

 

 

 

953,665

 

 

 

DIGNITY HEALTH

 

3.125% 01 Nov 2022

 

UNITED STATES

 

875,000

 

 

 

872,689

 

 

 

DIRECTV HOLDINGS/FING

 

5.15% 15 Mar 2042

 

UNITED STATES

 

555,000

 

 

 

642,258

 

 

 

DIRECTV HOLDINGS/FING

 

6% 15 Aug 2040

 

UNITED STATES

 

750,000

 

 

 

758,575

 

 

 

DIRECTV HOLDINGS/FING

 

6.375% 01 Mar 2041

 

UNITED STATES

 

2,085,000

 

 

 

2,313,474

 

 

 

DISCOVERY COMMUNICATIONS

 

6.35% 01 Jun 2040

 

UNITED STATES

 

800,000

 

 

 

988,749

 

 

 

DOMINION RESOURCES INC

 

2.75% 15 Sep 2022

 

UNITED STATES

 

1,930,000

 

 

 

2,442,724

 

 

 

DOMINION RESOURCES INC

 

5.95% 15 Jun 2035

 

UNITED STATES

 

2,070,000

 

 

 

2,088,266

 

 

 

DOW CHEMICAL CO/THE

 

4.375% 15 Nov 2042

 

UNITED STATES

 

2,410,000

 

 

 

2,394,369

 

 

 

DTE ENERGY COMPANY

 

6.375% 15 Apr 2033

 

UNITED STATES

 

675,000

 

 

 

876,899

 

 

 

DUKE ENERGY CAROLINAS

 

6.45% 15 Oct 2032

 

UNITED STATES

 

1,000,000

 

 

 

1,288,505

 

 

 

DUKE ENERGY FLORIDA INC

 

6.4% 15 Jun 2038

 

UNITED STATES

 

925,000

 

 

 

1,240,639

 

 

 

DUKE ENERGY INDIANA INC

 

6.45% 01 Apr 2039

 

UNITED STATES

 

350,000

 

 

 

415,097

 

 

 

E.I. DU PONT DE NEMOURS

 

4.9% 15 Jan 2041

 

UNITED STATES

 

930,000

 

 

 

994,802

 

 

 

EASTMAN CHEMICAL CO

 

4.8% 01 Sep 2042

 

UNITED STATES

 

775,000

 

 

 

924,609

 

 

 

ENCANA CORP

 

3.9% 15 Nov 2021

 

UNITED STATES

 

1,200,000

 

 

 

1,368,854

 

 

 

ENERGY TRANSFER PARTNERS

 

5.2% 01 Feb 2022

 

UNITED STATES

 

465,000

 

 

 

569,317

 

 

 

ENERGY TRANSFER PARTNERS

 

6.5% 01 Feb 2042

 

UNITED STATES

 

1,450,000

 

 

 

1,819,692

 

 

 

ENTERPRISE PRODUCTS OPER

 

7.55% 15 Apr 2038

 

UNITED STATES

 

880,000

 

 

 

1,212,017

 

 

 

ENTERPRISE PRODUCTS OPER

 

6.875% 01 Mar 2033

 

UNITED STATES

 

910,000

 

 

 

1,008,174

 

 

 

ERAC USA FINANCE LLC

 

5.625% 15 Mar 2042

 

UNITED STATES

 

1,390,000

 

 

 

1,682,997

 

 

 

ERICSSON LM

 

4.125% 15 May 2022

 

UNITED STATES

 

1,550,000

 

 

 

1,802,435

 

 

 

EXELON GENERATION CO LLC

 

6.25% 01 Oct 2039

 

UNITED STATES

 

1,715,000

 

 

 

1,903,148

 

 

 

EXELON GENERATION CO LLC

 

5.75% 01 Oct 2041

 

UNITED STATES

 

1,145,000

 

 

 

1,460,685

 

 

 

FED REPUBLIC OF BRAZIL

 

4.875% 22 Jan 2021

 

UNITED STATES

 

1,350,000

 

 

 

1,743,640

 

 

 

FIRSTENERGY CORP

 

7.375% 15 Nov 2031

 

UNITED STATES

 

1,039,000

 

 

 

1,167,620

 

 

 

FIRSTENERGY SOLUTIONS CO

 

6.8% 15 Aug 2039

 

UNITED STATES

 

675,000

 

 

 

829,110

 

 

 

FLORIDA POWER + LIGHT

 

5.25% 01 Feb 2041

 

UNITED STATES

 

900,000

 

 

 

1,126,693

 

 

 

FLORIDA POWER + LIGHT

 

5.625% 01 Apr 2034

 

UNITED STATES

 

350,000

 

 

 

364,518

 

 

 

FLORIDA POWER + LIGHT

 

4.05% 01 Jun 2042

 

UNITED STATES

 

700,000

 

 

 

942,831

 

 

 

FORD MOTOR CREDIT CO LLC

 

5.875% 02 Aug 2021

 

UNITED STATES

 

1,000,000

 

 

 

1,164,538

 

 

 

FREEPORT MCMORAN C + G

 

3.55% 01 Mar 2022

 

UNITED STATES

 

1,700,000

 

 

 

1,686,019

 

 

 

GENERAL DYNAMICS CORP

 

3.6% 15 Nov 2042

 

UNITED STATES

 

1,110,000

 

 

 

1,067,820

 

 

 

GENERAL ELEC CAP CORP

 

6.75% 15 Mar 2032

 

UNITED STATES

 

3,570,000

 

 

 

4,306,320

 

 

 

GENERAL ELEC CAP CORP

 

5.875% 14 Jan 2038

 

UNITED STATES

 

3,285,000

 

 

 

4,266,341

 

 

 

GENERAL ELEC CAP CORP

 

3.15% 07 Sep 2022

 

UNITED STATES

 

2,400,000

 

 

 

2,452,063

 

 

 

GENERAL ELECTRIC CO

 

4.125% 09 Oct 2042

 

UNITED STATES

 

1,095,000

 

 

 

1,126,370

 

 

 

GEORGE WASHINGTON UNIVER

 

3.485% 15 Sep 2022

 

UNITED STATES

 

2,335,000

 

 

 

2,469,986

 

 

 

GEORGIA POWER COMPANY

 

4.3% 15 Mar 2042

 

UNITED STATES

 

1,280,000

 

 

 

1,588,204

 

 

 

GEORGIA POWER COMPANY

 

5.65% 01 Mar 2037

 

UNITED STATES

 

1,800,000

 

 

 

1,887,973

 

 

 

GLAXOSMITHKLINE CAP INC

 

6.375% 15 May 2038

 

UNITED STATES

 

1,115,000

 

 

 

1,540,315

 

 

 

GOLDMAN SACHS GROUP INC

 

6.45% 01 May 2036

 

UNITED STATES

 

3,245,000

 

 

 

3,559,230

 

 

 

GOLDMAN SACHS GROUP INC

 

6.75% 01 Oct 2037

 

UNITED STATES

 

2,925,000

 

 

 

3,314,981

 

 

 

HARTFORD FINL SVCS GRP

 

6.625% 15 Apr 2042

 

UNITED STATES

 

1,000,000

 

 

 

1,271,460

 

 

 

HCP INC

 

6.75% 01 Feb 2041

 

UNITED STATES

 

1,005,000

 

 

 

1,300,962

 

 

 

HEALTH CARE REIT INC

 

6.5% 15 Mar 2041

 

UNITED STATES

 

1,110,000

 

 

 

1,112,058

 

 

 

HEALTH CARE REIT INC

 

3.75% 15 Mar 2023

 

UNITED STATES

 

585,000

 

 

 

680,039

 

 

 

HESS CORP

 

6% 15 Jan 2040

 

UNITED STATES

 

550,000

 

 

 

670,965

 

 

 

HEWLETT PACKARD CO

 

6% 15 Sep 2041

 

UNITED STATES

 

2,000,000

 

 

 

1,961,202

 

 

 

HEWLETT PACKARD CO

 

4.05% 15 Sep 2022

 

UNITED STATES

 

700,000

 

 

 

692,928

 

 

 

HONEYWELL INTERNATIONAL

 

5.375% 01 Mar 2041

 

UNITED STATES

 

710,000

 

 

 

908,976

 

 

 

HUMANA INC

 

4.625% 01 Dec 2042

 

UNITED STATES

 

1,000,000

 

 

 

1,009,804

 

 

 

ILLINOIS ST

 

5.1% 01 Jun 2033

 

UNITED STATES

 

3,575,000

 

 

 

3,536,247

 

 

 

INDIANA MICHIGAN POWER

 

6.05% 15 Mar 2037

 

UNITED STATES

 

905,000

 

 

 

1,099,210

 

 

 

INTEL CORP

 

4.8% 01 Oct 2041

 

UNITED STATES

 

715,000

 

 

 

786,934

 

 

 

INTEL CORP

 

4.25% 15 Dec 2042

 

UNITED STATES

 

1,450,000

 

 

 

1,453,876

 

 

 

INTL PAPER CO

 

6% 15 Nov 2041

 

UNITED STATES

 

605,000

 

 

 

716,399

 

 

 

JOHNSON + JOHNSON

 

5.95% 15 Aug 2037

 

UNITED STATES

 

1,155,000

 

 

 

1,601,754

 

 

 

JOHNSON CONTROLS INC

 

5.7% 01 Mar 2041

 

UNITED STATES

 

570,000

 

 

 

686,420

 

 

 

JPMORGAN CHASE + CO

 

4.25% 15 Oct 2020

 

UNITED STATES

 

1,375,000

 

 

 

1,657,018

 

 

 

JPMORGAN CHASE + CO

 

5.4% 06 Jan 2042

 

UNITED STATES

 

1,600,000

 

 

 

1,779,403

 

 

 

JPMORGAN CHASE + CO

 

5.5% 15 Oct 2040

 

UNITED STATES

 

2,700,000

 

 

 

3,300,629

 

 

 

JUNIPER NETWORKS INC

 

5.95% 15 Mar 2041

 

UNITED STATES

 

645,000

 

 

 

734,489

 

 

 

KAISER FOUNDATION HOSPIT

 

4.875% 01 Apr 2042

 

UNITED STATES

 

2,000,000

 

 

 

2,272,206

 

 

 

KENTUCKY UTILITIES

 

5.125% 01 Nov 2040

 

UNITED STATES

 

1,585,000

 

 

 

1,920,784

 

 

 

KINDER MORGAN ENER PART

 

6.5% 01 Feb 2037

 

UNITED STATES

 

1,305,000

 

 

 

1,717,204

 

 

 

KINDER MORGAN ENER PART

 

6.95% 15 Jan 2038

 

UNITED STATES

 

1,190,000

 

 

 

1,452,748

 

 

 

KRAFT FOODS GROUP INC

 

6.875% 26 Jan 2039

 

UNITED STATES

 

1,235,000

 

 

 

1,662,758

 

 

 

KRAFT FOODS GROUP INC

 

5% 04 Jun 2042

 

UNITED STATES

 

1,380,000

 

 

 

1,551,809

 

 

 

LINCOLN NATIONAL CORP

 

7% 15 Jun 2040

 

UNITED STATES

 

825,000

 

 

 

1,073,775

 

 

 

LOCKHEED MARTIN CORP

 

4.85% 15 Sep 2041

 

UNITED STATES

 

925,000

 

 

 

1,020,726

 

 

 

LORILLARD TOBACCO CO

 

8.125% 01 May 2040

 

UNITED STATES

 

730,000

 

 

 

952,151

 

 

113



Table of Contents

 

 

 

LORILLARD TOBACCO CO

 

7% 04 Aug 2041

 

UNITED STATES

 

675,000

 

 

 

819,563

 

 

 

LOS ANGELES CA CMNTY CLG DIST

 

6.6% 01 Aug 2042

 

UNITED STATES

 

900,000

 

 

 

1,226,277

 

 

 

LOS ANGELES CA DEPT WTR PWR

 

6.574% 01 Jul 2045

 

UNITED STATES

 

675,000

 

 

 

945,695

 

 

 

LOS ANGELES CA UNIF SCH DIST

 

6.758% 01 Jul 2034

 

UNITED STATES

 

1,600,000

 

 

 

2,135,664

 

 

 

LOWE S COMPANIES INC

 

5.125% 15 Nov 2041

 

UNITED STATES

 

805,000

 

 

 

944,132

 

 

 

MACYS RETAIL HLDGS INC

 

5.125% 15 Jan 2042

 

UNITED STATES

 

650,000

 

 

 

702,387

 

 

 

MACYS RETAIL HLDGS INC

 

6.375% 15 Mar 2037

 

UNITED STATES

 

850,000

 

 

 

1,023,214

 

 

 

MARATHON OIL CORP

 

6.6% 01 Oct 2037

 

UNITED STATES

 

1,235,000

 

 

 

1,650,239

 

 

 

MARATHON PETROLEUM CORP

 

6.5% 01 Mar 2041

 

UNITED STATES

 

1,170,000

 

 

 

1,482,456

 

 

 

MASSACHUSETTS ST

 

5.456% 01 Dec 2039

 

UNITED STATES

 

1,300,000

 

 

 

1,519,804

 

 

 

MASSACHUSETTS ST

 

4.91% 01 May 2029

 

UNITED STATES

 

700,000

 

 

 

879,816

 

 

 

MCDONALD S CORP

 

6.3% 15 Oct 2037

 

UNITED STATES

 

575,000

 

 

 

795,909

 

 

 

MCKESSON CORP

 

6% 01 Mar 2041

 

UNITED STATES

 

950,000

 

 

 

1,254,807

 

 

 

MEDTRONIC INC

 

3.125% 15 Mar 2022

 

UNITED STATES

 

1,000,000

 

 

 

1,061,724

 

 

 

MERCK + CO INC

 

2.4% 15 Sep 2022

 

UNITED STATES

 

900,000

 

 

 

1,190,048

 

 

 

MERCK + CO INC

 

6.55% 15 Sep 2037

 

UNITED STATES

 

1,480,000

 

 

 

1,480,484

 

 

 

MERCK SHARP + DOHME CORP

 

5.75% 15 Nov 2036

 

UNITED STATES

 

600,000

 

 

 

859,861

 

 

 

MERRILL LYNCH + CO

 

6.11% 29 Jan 2037

 

UNITED STATES

 

1,355,000

 

 

 

1,479,050

 

 

 

MET TRANSPRTN AUTH NY REVENUE

 

6.814% 15 Nov 2040

 

UNITED STATES

 

2,000,000

 

 

 

2,643,580

 

 

 

METLIFE INC

 

6.5% 15 Dec 2032

 

UNITED STATES

 

1,925,000

 

 

 

2,511,819

 

 

 

MICROSOFT CORP

 

5.3% 08 Feb 2041

 

UNITED STATES

 

615,000

 

 

 

770,466

 

 

 

MIDAMERICAN ENERGY HLDGS

 

6.125% 01 Apr 2036

 

UNITED STATES

 

2,695,000

 

 

 

3,402,009

 

 

 

MOLSON COORS BREWING CO

 

5% 01 May 2042

 

UNITED STATES

 

545,000

 

 

 

610,761

 

 

 

MONDELEZ INTERNATIONAL

 

6.5% 09 Feb 2040

 

UNITED STATES

 

2,335,000

 

 

 

3,136,725

 

 

 

MORGAN STANLEY

 

6.375% 24 Jul 2042

 

UNITED STATES

 

800,000

 

 

 

900,008

 

 

 

MORGAN STANLEY

 

5.5% 24 Jul 2020

 

UNITED STATES

 

1,195,000

 

 

 

1,400,904

 

 

 

MORGAN STANLEY

 

6.25% 09 Aug 2026

 

UNITED STATES

 

1,540,000

 

 

 

1,807,362

 

 

 

MUNI ELEC AUTH OF GEORGIA

 

6.655% 01 Apr 2057

 

UNITED STATES

 

1,000,000

 

 

 

1,187,440

 

 

 

NATIONAL RURAL UTIL COOP

 

8% 01 Mar 2032

 

UNITED STATES

 

650,000

 

 

 

978,019

 

 

 

NBCUNIVERSAL MEDIA LLC

 

6.4% 30 Apr 2040

 

UNITED STATES

 

2,000,000

 

 

 

2,008,510

 

 

 

NBCUNIVERSAL MEDIA LLC

 

2.875% 15 Jan 2023

 

UNITED STATES

 

2,890,000

 

 

 

3,708,202

 

 

 

NEW JERSEY ST ECON DEV AUTH LE

 

7.425% 15 Feb 2029

 

UNITED STATES

 

1,100,000

 

 

 

1,407,604

 

 

 

NEW JERSEY ST TRANSPRTN TRUST

 

6.561% 15 Dec 2040

 

UNITED STATES

 

1,000,000

 

 

 

1,338,430

 

 

 

NEW JERSEY ST TURNPIKE AUTH

 

7.102% 01 Jan 2041

 

UNITED STATES

 

650,000

 

 

 

936,865

 

 

 

NEW YORK CITY NY MUNI WTR FIN

 

5.79% 15 Jun 2041

 

UNITED STATES

 

1,500,000

 

 

 

1,716,660

 

 

 

NEW YORK NY

 

5.985% 01 Dec 2036

 

UNITED STATES

 

1,000,000

 

 

 

1,268,810

 

 

 

NEW YORK ST DORM AUTH ST PERSO

 

5.427% 15 Mar 2039

 

UNITED STATES

 

600,000

 

 

 

732,828

 

 

 

NEWS AMERICA INC

 

6.15% 01 Mar 2037

 

UNITED STATES

 

4,350,000

 

 

 

5,338,603

 

 

 

NIAGARA MOHAWK POWER

 

4.119% 28 Nov 2042

 

UNITED STATES

 

1,115,000

 

 

 

1,091,477

 

 

 

NORFOLK SOUTHERN CORP

 

5.59% 17 May 2025

 

UNITED STATES

 

1,650,000

 

 

 

2,006,351

 

 

 

NORFOLK SOUTHERN CORP

 

6% 15 Mar 2105

 

UNITED STATES

 

1,100,000

 

 

 

1,350,863

 

 

 

NORTHERN STATES PWR MINN

 

5.35% 01 Nov 2039

 

UNITED STATES

 

1,400,000

 

 

 

1,318,995

 

 

 

NORTHERN STATES PWR MINN

 

3.4% 15 Aug 2042

 

UNITED STATES

 

425,000

 

 

 

531,529

 

 

 

NORTHROP GRUMMAN CORP

 

5.05% 15 Nov 2040

 

UNITED STATES

 

950,000

 

 

 

1,077,766

 

 

 

NORTHWESTERN MUTUAL LIFE

 

6.063% 30 Mar 2040

 

UNITED STATES

 

950,000

 

 

 

1,212,858

 

 

 

NOVARTIS CAPITAL CORP

 

3.7% 21 Sep 2042

 

UNITED STATES

 

900,000

 

 

 

896,099

 

 

 

OCCIDENTAL PETROLEUM COR

 

2.7% 15 Feb 2023

 

UNITED STATES

 

1,800,000

 

 

 

1,836,671

 

 

 

OHIO ST UNIV

 

4.8% 01 Jun 2111

 

UNITED STATES

 

430,000

 

 

 

484,313

 

 

 

ONEOK PARTNERS LP

 

6.85% 15 Oct 2037

 

UNITED STATES

 

905,000

 

 

 

1,122,193

 

 

 

ONEOK PARTNERS LP

 

6.65% 01 Oct 2036

 

UNITED STATES

 

480,000

 

 

 

611,465

 

 

 

ORACLE CORP

 

5.375% 15 Jul 2040

 

UNITED STATES

 

1,625,000

 

 

 

2,026,094

 

 

 

PACIFIC GAS + ELECTRIC

 

3.75% 15 Aug 2042

 

UNITED STATES

 

1,025,000

 

 

 

1,094,156

 

 

 

PACIFIC GAS + ELECTRIC

 

4.45% 15 Apr 2042

 

UNITED STATES

 

2,900,000

 

 

 

2,772,800

 

 

 

PENNSYLVANIA ST

 

5.45% 15 Feb 2030

 

UNITED STATES

 

300,000

 

 

 

366,561

 

 

 

PENNSYLVANIA ST TURNPIKE COMMI

 

5.511% 01 Dec 2045

 

UNITED STATES

 

500,000

 

 

 

595,135

 

 

 

PEPSICO INC

 

4% 05 Mar 2042

 

UNITED STATES

 

1,400,000

 

 

 

1,448,047

 

 

 

PFIZER INC

 

7.2% 15 Mar 2039

 

UNITED STATES

 

2,060,000

 

 

 

3,158,328

 

 

 

PHILIP MORRIS INTL INC

 

3.875% 21 Aug 2042

 

UNITED STATES

 

825,000

 

 

 

1,123,417

 

 

 

PHILIP MORRIS INTL INC

 

6.375% 16 May 2038

 

UNITED STATES

 

1,495,000

 

 

 

1,503,101

 

 

 

PHILLIPS 66

 

5.875% 01 May 2042

 

UNITED STATES

 

730,000

 

 

 

878,435

 

 

 

PORT AUTH OF NEW YORK NEW JE

 

4.926% 01 Oct 2051

 

UNITED STATES

 

825,000

 

 

 

914,141

 

 

 

PRINCIPAL FINANCIAL GRP

 

6.05% 15 Oct 2036

 

UNITED STATES

 

520,000

 

 

 

643,574

 

 

 

PROCTER + GAMBLE CO/THE

 

5.55% 05 Mar 2037

 

UNITED STATES

 

650,000

 

 

 

872,028

 

 

 

PROGRESS ENERGY INC

 

6% 01 Dec 2039

 

UNITED STATES

 

1,000,000

 

 

 

1,366,115

 

 

 

PROGRESS ENERGY INC

 

7.75% 01 Mar 2031

 

UNITED STATES

 

585,000

 

 

 

708,181

 

*

 

PRUDENTIAL FINANCIAL INC

 

6.625% 21 Jun 2040

 

UNITED STATES

 

1,650,000

 

 

 

2,073,040

 

*

 

PRUDENTIAL FINANCIAL INC

 

5.7% 14 Dec 2036

 

UNITED STATES

 

600,000

 

 

 

683,421

 

 

 

PSEG POWER LLC

 

8.625% 15 Apr 2031

 

UNITED STATES

 

625,000

 

 

 

911,378

 

 

 

QUEST DIAGNOSTIC INC

 

5.75% 30 Jan 2040

 

UNITED STATES

 

1,970,000

 

 

 

2,257,106

 

 

 

QWEST CORP

 

6.75% 01 Dec 2021

 

UNITED STATES

 

3,470,000

 

 

 

4,066,725

 

 

 

RAYTHEON COMPANY

 

4.7% 15 Dec 2041

 

UNITED STATES

 

215,000

 

 

 

246,606

 

 

 

RAYTHEON COMPANY

 

4.875% 15 Oct 2040

 

UNITED STATES

 

760,000

 

 

 

860,059

 

 

 

REYNOLDS AMERICAN INC

 

4.75% 01 Nov 2042

 

UNITED STATES

 

1,700,000

 

 

 

1,715,093

 

 

 

SABMILLER HOLDINGS INC

 

4.95% 15 Jan 2042

 

UNITED STATES

 

575,000

 

 

 

651,777

 

 

 

SAN DIEGO CNTY CA WTR AUTH FIN

 

6.138% 01 May 2049

 

UNITED STATES

 

425,000

 

 

 

565,662

 

 

 

SOUTH CAROLINA ELEC+GAS

 

4.35% 01 Feb 2042

 

UNITED STATES

 

1,000,000

 

 

 

1,055,550

 

 

 

SOUTHERN CAL EDISON

 

5.35% 15 Jul 2035

 

UNITED STATES

 

775,000

 

 

 

1,011,858

 

 

 

SOUTHERN CAL EDISON

 

6% 15 Jan 2034

 

UNITED STATES

 

850,000

 

 

 

883,576

 

 

 

SOUTHERN CAL EDISON

 

4.05% 15 Mar 2042

 

UNITED STATES

 

350,000

 

 

 

427,175

 

 

 

SOUTHERN CALIF GAS CO

 

5.125% 15 Nov 2040

 

UNITED STATES

 

1,200,000

 

 

 

1,485,132

 

 

 

SOUTHWESTERN ELEC POWER

 

3.55% 15 Feb 2022

 

UNITED STATES

 

4,000,000

 

 

 

4,224,636

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

UNITED STATES

 

4,970,510

 

 

 

4,970,510

 

 

 

TARGET CORP

 

7% 15 Jan 2038

 

UNITED STATES

 

600,000

 

 

 

881,285

 

 

 

TARGET CORP

 

4% 01 Jul 2042

 

UNITED STATES

 

1,270,000

 

 

 

1,304,771

 

 

 

TEACHERS INSUR + ANNUITY

 

6.85% 16 Dec 2039

 

UNITED STATES

 

584,000

 

 

 

792,065

 

 

 

TEXAS ST

 

5.517% 01 Apr 2039

 

UNITED STATES

 

675,000

 

 

 

825,694

 

 

 

TEXAS ST TRANSPRTN COMMISSION

 

5.178% 01 Apr 2030

 

UNITED STATES

 

1,400,000

 

 

 

1,823,304

 

 

 

TIME WARNER CABLE INC

 

6.55% 01 May 2037

 

UNITED STATES

 

5,155,000

 

 

 

6,377,838

 

 

 

TIME WARNER INC

 

6.5% 15 Nov 2036

 

UNITED STATES

 

1,380,000

 

 

 

1,670,791

 

 

 

TIME WARNER INC

 

6.1% 15 Jul 2040

 

UNITED STATES

 

3,015,000

 

 

 

3,771,313

 

 

 

UNITED PARCEL SERVICE

 

4.875% 15 Nov 2040

 

UNITED STATES

 

825,000

 

 

 

957,201

 

 

 

UNITED TECHNOLOGIES CORP

 

4.5% 01 Jun 2042

 

UNITED STATES

 

3,345,000

 

 

 

3,716,834

 

 

 

UNITEDHEALTH GROUP INC

 

2.875% 15 Mar 2022

 

UNITED STATES

 

1,300,000

 

 

 

1,332,985

 

 

 

UNITEDHEALTH GROUP INC

 

3.95% 15 Oct 2042

 

UNITED STATES

 

935,000

 

 

 

1,231,652

 

 

 

UNITEDHEALTH GROUP INC

 

6.5% 15 Jun 2037

 

UNITED STATES

 

1,300,000

 

 

 

1,294,530

 

 

 

UNIV OF CALIFORNIA CA REVENUES

 

5.946% 15 May 2045

 

UNITED STATES

 

400,000

 

 

 

494,288

 

 

 

UNIV OF CALIFORNIA CA RGTS MED

 

6.548% 15 May 2048

 

UNITED STATES

 

1,000,000

 

 

 

1,331,770

 

 

 

UNIV OF SOUTHERN CALIFOR

 

5.25% 01 Oct 2111

 

UNITED STATES

 

850,000

 

 

 

1,089,173

 

 

 

US TREASURY N/B

 

3.5% 15 Feb 2039

 

UNITED STATES

 

610,000

 

 

 

689,586

 

 

 

VALERO ENERGY CORP

 

6.625% 15 Jun 2037

 

UNITED STATES

 

895,000

 

 

 

1,102,678

 

 

 

VERIZON COMMUNICATIONS

 

4.75% 01 Nov 2041

 

UNITED STATES

 

1,940,000

 

 

 

2,760,996

 

 

 

VERIZON COMMUNICATIONS

 

6.9% 15 Apr 2038

 

UNITED STATES

 

1,480,000

 

 

 

1,678,733

 

 

 

VERIZON COMMUNICATIONS

 

3.85% 01 Nov 2042

 

UNITED STATES

 

1,110,000

 

 

 

1,091,759

 

 

114



Table of Contents

 

 

 

VERIZON COMMUNICATIONS

 

7.75% 01 Dec 2030

 

UNITED STATES

 

2,415,000

 

 

 

3,535,773

 

 

 

VIACOM INC

 

4.375% 15 Mar 2043

 

UNITED STATES

 

1,300,000

 

 

 

1,282,464

 

 

 

VIACOM INC

 

4.5% 27 Feb 2042

 

UNITED STATES

 

1,277,000

 

 

 

1,256,193

 

 

 

WACHOVIA BANK NA

 

5.85% 01 Feb 2037

 

UNITED STATES

 

1,700,000

 

 

 

2,109,209

 

 

 

WACHOVIA CORP

 

5.5% 01 Aug 2035

 

UNITED STATES

 

1,400,000

 

 

 

1,591,975

 

 

 

WAL MART STORES INC

 

5.625% 01 Apr 2040

 

UNITED STATES

 

2,845,000

 

 

 

3,690,070

 

 

 

WAL MART STORES INC

 

5% 25 Oct 2040

 

UNITED STATES

 

2,705,000

 

 

 

3,272,931

 

 

 

WALGREEN CO

 

4.4% 15 Sep 2042

 

UNITED STATES

 

1,500,000

 

 

 

1,526,457

 

 

 

WALT DISNEY COMPANY/THE

 

2.35% 01 Dec 2022

 

UNITED STATES

 

2,500,000

 

 

 

2,522,963

 

 

 

WASHINGTON ST

 

5.481% 01 Aug 2039

 

UNITED STATES

 

650,000

 

 

 

818,669

 

 

 

WASTE MANAGEMENT INC

 

7% 15 Jul 2028

 

UNITED STATES

 

1,000,000

 

 

 

1,355,220

 

 

 

WEATHERFORD INTL INC

 

6.8% 15 Jun 2037

 

UNITED STATES

 

465,000

 

 

 

527,063

 

 

 

WELLPOINT INC

 

3.3% 15 Jan 2023

 

UNITED STATES

 

2,000,000

 

 

 

2,052,010

 

 

 

WELLPOINT INC

 

5.85% 15 Jan 2036

 

UNITED STATES

 

500,000

 

 

 

590,255

 

 

 

WILLIAMS PARTNERS LP

 

6.3% 15 Apr 2040

 

UNITED STATES

 

1,175,000

 

 

 

1,436,479

 

 

 

XEROX CORPORATION

 

4.5% 15 May 2021

 

UNITED STATES

 

1,900,000

 

 

 

2,011,809

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT F - Long-Term Corporate Bond Fund

 

 

 

 

 

$

481,656,136

 

 


 

 

n / a - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

 

 

115



Table of Contents

 

EXHIBIT G - High Yield and Emerging Markets Bond Fund

(Managed by Pacific Management Investment Company)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

AUSTRALIAN DOLLAR

 

FOREIGN CURRENCY

 

AUSTRALIA

 

15,527

 

 

 

$

16,121

 

 

 

FMG RESOURCES AUG 2006

 

8.25% 01 Nov 2019

 

AUSTRALIA

 

200,000

 

 

 

210,000

 

 

 

FORD MOTOR CREDIT CO LLC

 

12% 15 May 2015

 

AUSTRALIA

 

200,000

 

 

 

213,000

 

 

 

FRONTIER COMMUNICATIONS

 

6.625% 15 Mar 2015

 

AUSTRALIA

 

997,500

 

 

 

1,004,981

 

 

 

OGX AUSTRIA GMBH

 

8.375% 01 Apr 2022

 

AUSTRIA

 

600,000

 

 

 

501,000

 

 

 

OJSC RUSS AGRIC BK(RSHB)

 

7.125% 14 Jan 2014

 

AUSTRIA

 

200,000

 

 

 

180,000

 

 

 

KOREA DEVELOPMENT BANK

 

3% 14 Sep 2022

 

BAHRAIN

 

300,000

 

 

 

322,860

 

 

 

COLUMBUS INTL INC

 

11.5% 20 Nov 2014

 

BARBADOS

 

300,000

 

 

 

333,000

 

 

 

NORANDA ALUMINIUM ACQUIS

 

4.65861% 15 May 2015

 

BERMUDA

 

500,000

 

 

 

515,625

 

 

 

QUEBECOR MEDIA

 

7.75% 15 Mar 2016

 

BERMUDA

 

200,000

 

 

 

226,000

 

 

 

BANCO DO BRASIL (CAYMAN)

 

3.875% 10 Oct 2022

 

BRAZIL

 

1,200,000

 

 

 

1,209,000

 

 

 

BANCO DO BRASIL (CAYMAN)

 

6% 22 Jan 2020

 

BRAZIL

 

200,000

 

 

 

232,500

 

 

 

BANCO NAC DE DESEN ECONO

 

4.125% 15 Sep 2017

 

BRAZIL

 

300,000

 

 

 

425,184

 

 

 

BANCO SANTANDER BRASIL

 

4.25% 14 Jan 2016

 

BRAZIL

 

300,000

 

 

 

311,250

 

 

 

BRAZILIAN REAL

 

FOREIGN CURRENCY

 

BRAZIL

 

10,630

 

 

 

5,192

 

 

 

CENT ELET BRASILEIRAS SA

 

6.875% 30 Jul 2019

 

BRAZIL

 

550,000

 

 

 

625,625

 

 

 

CENT ELET BRASILEIRAS SA

 

6.875% 30 Jul 2019

 

BRAZIL

 

100,000

 

 

 

113,750

 

 

 

CENT ELET BRASILEIRAS SA

 

6.875% 30 Jul 2019

 

BRAZIL

 

100,000

 

 

 

113,750

 

 

 

FIBRIA OVERSEAS FINANCE

 

6.75% 03 Mar 2021

 

BRAZIL

 

690,000

 

 

 

1,160,925

 

 

 

NOTA DO TESOURO NACIONAL

 

10% 01 Jan 2021

 

BRAZIL

 

10,000

 

 

 

48,840

 

 

 

NOTA DO TESOURO NACIONAL

 

10% 01 Jan 2014

 

BRAZIL

 

230,300

 

 

 

1,153,779

 

 

 

NOTA DO TESOURO NACIONAL

 

10% 01 Jan 2017

 

BRAZIL

 

66,500

 

 

 

342,111

 

 

 

NOVATEK(NOVATEK FIN LTD)

 

6.604% 03 Feb 2021

 

BRAZIL

 

4,337,400

 

 

 

22,303,769

 

 

 

CANADIAN DOLLAR

 

FOREIGN CURRENCY

 

CANADA

 

4,619

 

 

 

4,639

 

 

 

HCA INC

 

8.5% 15 Apr 2019

 

CANADA

 

100,000

 

 

 

111,000

 

 

 

KINGDOM OF BAHRAIN

 

5.5% 31 Mar 2020

 

CANADA

 

1,000,000

 

 

 

1,093,131

 

 

 

NOVELIS INC

 

8.375% 15 Dec 2017

 

CANADA

 

1,200,000

 

 

 

1,323,000

 

 

 

ODEBRECHT DRILL VIII/IX

 

6.35% 30 Jun 2021

 

CANADA

 

100,000

 

 

 

111,500

 

 

 

QUICKSILVER RESOURCES IN

 

11.75% 01 Jan 2016

 

CANADA

 

327,000

 

 

 

335,175

 

 

 

VALEANT PHARMACEUTICALS INTL I

 

1% 27 Sep 2019

 

CANADA

 

1,000,000

 

 

 

1,004,790

 

 

 

VIDEOTRON LTEE

 

6.375% 15 Dec 2015

 

CANADA

 

1,150,000

 

 

 

1,165,180

 

 

 

CSN RESOURCES SA

 

6.5% 21 Jul 2020

 

CAYMAN ISLANDS

 

200,000

 

 

 

226,500

 

 

 

FIRST DATA CORP

 

1% 24 Sep 2014

 

CAYMAN ISLANDS

 

400,000

 

 

 

443,000

 

 

 

JAPANESE YEN

 

FOREIGN CURRENCY

 

CAYMAN ISLANDS

 

1,100,000

 

 

 

1,250,700

 

 

 

OGX AUSTRIA GMBH

 

8.5% 01 Jun 2018

 

CAYMAN ISLANDS

 

190,000

 

 

 

213,275

 

 

 

PETRO CO TRIN/TOBAGO LTD

 

6% 08 May 2022

 

CAYMAN ISLANDS

 

147,929

 

 

 

134,721

 

 

 

PETROLEOS DE VENEZUELA S

 

5.375% 12 Apr 2027

 

CAYMAN ISLANDS

 

240,000

 

 

 

299,778

 

 

 

UPC HOLDING BV

 

9.875% 15 Apr 2018

 

CAYMAN ISLANDS

 

2,000,000

 

 

 

2,165,000

 

 

 

USIMINAS COMMERCIAL LTD

 

7.25% 18 Jan 2018

 

CAYMAN ISLANDS

 

200,000

 

 

 

222,000

 

 

 

VALE OVERSEAS LIMITED

 

4.625% 15 Sep 2020

 

CAYMAN ISLANDS

 

1,900,000

 

 

 

2,052,952

 

 

 

VALE OVERSEAS LIMITED

 

6.875% 21 Nov 2036

 

CAYMAN ISLANDS

 

200,000

 

 

 

247,916

 

 

 

BANCO SANTANDER CHILE

 

3.75% 22 Sep 2015

 

CHILE

 

100,000

 

 

 

105,012

 

 

 

CELULOSA ARAUCO CONSTITU

 

7.25% 29 Jul 2019

 

CHILE

 

250,000

 

 

 

296,604

 

 

 

EDISON MISSION ENERGY

 

7.5% 15 Jun 2013

 

COLOMBIA

 

940,000

 

 

 

1,214,950

 

 

 

REPUBLIC OF INDONESIA

 

8.5% 12 Oct 2035

 

COLOMBIA

 

2,000,000,000

 

 

 

1,734,805

 

 

 

CGG VERITAS

 

7.75% 15 May 2017

 

FRANCE

 

200,000

 

 

 

214,500

 

 

 

CGG VERITAS

 

6.5% 01 Jun 2021

 

FRANCE

 

200,000

 

 

 

208,000

 

 

 

CGG VERITAS

 

9.5% 15 May 2016

 

FRANCE

 

200,000

 

 

 

214,000

 

 

 

SWPC485N1 CDS USD R F 5.00000

 

5% 20 Sep 2016

 

FRANCE

 

(300,000

)

 

 

(300,000

)

 

 

SWPC553H1 CDS USD P V 03MEVENT

 

1% 20 Sep 2015

 

FRANCE

 

300,000

 

 

 

326,241

 

 

 

SWPC649S3 CDS EUR R F 5.00000

 

5% 20 Jun 2014

 

GERMANY

 

(200,000

)

 

 

(263,680

)

 

 

SWPC670S5 CDS EUR P V 03MEVENT

 

1% 20 Jun 2015

 

GERMANY

 

200,000

 

 

 

274,635

 

 

 

ICICI BANK LIMITED

 

5.75% 16 Nov 2020

 

HUNGARY

 

45,986

 

 

 

208

 

 

 

INDONESIA GOVERNMENT

 

6.625% 15 May 2033

 

INDIA

 

1,000,000

 

 

 

1,078,847

 

 

 

INDONESIA GOVERNMENT

 

10% 15 Feb 2028

 

INDONESIA

 

3,000,000,000

 

 

 

433,711

 

 

 

INDONESIA GOVERNMENT

 

8.25% 15 Jun 2032

 

INDONESIA

 

9,962,000,000

 

 

 

1,141,559

 

 

 

INDONESIA GOVERNMENT

 

9.5% 15 Jul 2031

 

INDONESIA

 

18,027,000,000

 

 

 

1,933,323

 

 

 

INDONESIA GOVERNMENT

 

6.125% 15 May 2028

 

INDONESIA

 

3,241,000,000

 

 

 

354,622

 

 

 

INDONESIA GOVERNMENT

 

7% 15 May 2027

 

INDONESIA

 

1,627,000,000

 

 

 

206,250

 

 

 

INDONESIAN RUPIAH

 

FOREIGN CURRENCY

 

INDONESIA

 

39,766,000,000

 

 

 

5,643,079

 

 

 

INEOS FINANCE PLC

 

9% 15 May 2015

 

INDONESIA

 

786,067,538

 

 

 

81,563

 

 

 

REPUBLIC OF INDONESIA

 

6.875% 09 Mar 2017

 

INDONESIA

 

300,000

 

 

 

358,125

 

 

 

REPUBLIC OF INDONESIA

 

6.875% 09 Mar 2017

 

INDONESIA

 

400,000

 

 

 

488,500

 

 

 

REPUBLIC OF INDONESIA

 

11.625% 04 Mar 2019

 

INDONESIA

 

400,000

 

 

 

535,000

 

 

 

REPUBLIC OF INDONESIA

 

6.875% 17 Jan 2018

 

INDONESIA

 

400,000

 

 

 

477,500

 

 

 

REPUBLIC OF INDONESIA

 

6.625% 17 Feb 2037

 

INDONESIA

 

600,000

 

 

 

907,500

 

 

 

REPUBLIC OF PANAMA

 

9.375% 01 Apr 2029

 

INDONESIA

 

100,000

 

 

 

160,000

 

 

 

EXIDE TECHNOLOGIES

 

8.625% 01 Feb 2018

 

INTERNATIONAL

 

27,151

 

 

 

35,795

 

 

 

NOVELIS INC

 

8.75% 15 Dec 2020

 

IRELAND

 

600,000

 

 

 

703,500

 

 

 

SANDRIDGE ENERGY INC

 

8% 01 Jun 2018

 

IRELAND

 

500,000

 

 

 

560,000

 

 

 

VIMPELCOM (VIP FIN)

 

7.748% 02 Feb 2021

 

IRELAND

 

800,000

 

 

 

969,000

 

 

 

VIMPELCOM (VIP FIN)

 

9.125% 30 Apr 2018

 

IRELAND

 

300,000

 

 

 

346,500

 

 

 

VNESHECONOMBANK(VEB)

 

6.902% 09 Jul 2020

 

IRELAND

 

800,000

 

 

 

930,000

 

 

 

VNESHECONOMBANK(VEB)

 

6.8% 22 Nov 2025

 

IRELAND

 

400,000

 

 

 

487,520

 

 

 

VNESHECONOMBANK(VEB)

 

6.025% 05 Jul 2022

 

IRELAND

 

200,000

 

 

 

245,000

 

 

 

ANGLOGOLD HOLDINGS PLC

 

5.375% 15 Apr 2020

 

ISLE OF MAN

 

100,000

 

 

 

103,206

 

 

 

IPIC GMTN LTD

 

5% 15 Nov 2020

 

ITALY

 

300,000

 

 

 

299,665

 

 

 

KAZMUNAIGAZ FINANCE SUB

 

11.75% 23 Jan 2015

 

JAPAN

 

7,609

 

 

 

88

 

 

 

EXPRO FINANCE LUXEMBOURG

 

8.5% 15 Dec 2016

 

KOREA, REPUBLIC OF

 

250,000

 

 

 

287,275

 

 

 

KOREA HYDRO + NUCLEAR PO

 

3.125% 16 Sep 2015

 

KOREA, REPUBLIC OF

 

700,000

 

 

 

697,295

 

 

 

LBG CAPITAL NO.1 PLC

 

11.04% 19 Mar 2020

 

KOREA, REPUBLIC OF

 

200,000

 

 

 

208,840

 

 

 

ALROSA FINANCE SA

 

7.75% 03 Nov 2020

 

LUXEMBOURG

 

700,000

 

 

 

812,000

 

 

 

DAVITA INC

 

1% 20 Oct 2016

 

LUXEMBOURG

 

100,000

 

 

 

108,500

 

 

 

FED REPUBLIC OF BRAZIL

 

8.25% 20 Jan 2034

 

LUXEMBOURG

 

100,000

 

 

 

104,500

 

 

 

GAZPROM (GAZ CAPITAL SA)

 

7.288% 16 Aug 2037

 

LUXEMBOURG

 

500,000

 

 

 

560,000

 

 

 

GAZPROM (GAZ CAPITAL SA)

 

9.25% 23 Apr 2019

 

LUXEMBOURG

 

1,600,000

 

 

 

1,908,000

 

 

 

GAZPROM (GAZ CAPITAL SA)

 

6.212% 22 Nov 2016

 

LUXEMBOURG

 

1,000,000

 

 

 

1,323,750

 

 

 

GAZPROM (GAZ CAPITAL SA)

 

6.51% 07 Mar 2022

 

LUXEMBOURG

 

630,000

 

 

 

906,677

 

 

 

GAZPROM (GAZ CAPITAL SA)

 

6.212% 22 Nov 2016

 

LUXEMBOURG

 

500,000

 

 

 

651,150

 

 

 

GAZPROM(GAZPROM INTL SA)

 

7.201% 01 Feb 2020

 

LUXEMBOURG

 

150,000

 

 

 

168,000

 

 

116



Table of Contents

 

 

 

GERDAU HOLDINGS INC

 

7% 20 Jan 2020

 

LUXEMBOURG

 

255,906

 

 

 

286,714

 

 

 

INTELSAT LUXEMBOURG SA

 

11.5% 04 Feb 2017

 

LUXEMBOURG

 

1,000,000

 

 

 

1,087,500

 

 

 

INTERGAS FINANCE BV

 

6.375% 14 May 2017

 

LUXEMBOURG

 

1,600,000

 

 

 

1,700,000

 

 

 

OJSC RUSS AGRIC BK(RSHB)

 

6.299% 15 May 2017

 

LUXEMBOURG

 

190,000

 

 

 

210,425

 

 

 

OSHKOSH CORP

 

8.5% 01 Mar 2020

 

LUXEMBOURG

 

400,000

 

 

 

420,668

 

 

 

PEABODY ENERGY CORP

 

6.5% 15 Sep 2020

 

LUXEMBOURG

 

600,000

 

 

 

657,000

 

 

 

RUSSIAN FEDERATION

 

4.5% 04 Apr 2022

 

LUXEMBOURG

 

300,000

 

 

 

305,580

 

 

 

SCIENTIFIC GAMES INTERNA

 

9.25% 15 Jun 2019

 

LUXEMBOURG

 

2,000,000

 

 

 

2,240,000

 

 

 

TENET HEALTHCARE CORP

 

10% 01 May 2018

 

LUXEMBOURG

 

100,000

 

 

 

141,069

 

 

 

TNK BP FINANCE SA

 

6.625% 20 Mar 2017

 

LUXEMBOURG

 

200,000

 

 

 

227,500

 

 

 

TNK BP FINANCE SA

 

7.875% 13 Mar 2018

 

LUXEMBOURG

 

200,000

 

 

 

242,780

 

 

 

TNK BP FINANCE SA

 

7.25% 02 Feb 2020

 

LUXEMBOURG

 

400,000

 

 

 

430,000

 

 

 

TNK BP FINANCE SA

 

7.875% 13 Mar 2018

 

LUXEMBOURG

 

200,000

 

 

 

242,500

 

 

 

TNK BP FINANCE SA

 

6.625% 20 Mar 2017

 

LUXEMBOURG

 

400,000

 

 

 

455,000

 

 

 

TOMKINS LLC/TOMKINS INC

 

9.25% 01 Oct 2018

 

LUXEMBOURG

 

100,000

 

 

 

121,390

 

 

 

AMERICA MOVIL SAB DE CV

 

4.375% 16 Jul 2042

 

MEXICO

 

500,000

 

 

 

519,565

 

 

 

BANCO MERCANTIL DEL NORT

 

4.375% 19 Jul 2015

 

MEXICO

 

100,000

 

 

 

104,750

 

 

 

BBVA BANCOMER SA TEXAS

 

7.25% 22 Apr 2020

 

MEXICO

 

100,000

 

 

 

111,500

 

 

 

CORPORACION GEO SA DE CV

 

8.875% 27 Mar 2022

 

MEXICO

 

200,000

 

 

 

213,000

 

 

 

CROWN AMER/CAP CORP II

 

7.625% 15 May 2017

 

MEXICO

 

200,000

 

 

 

215,000

 

 

 

DFS FURNITURE HLDGS PLC

 

9.75% 15 Jul 2017

 

MEXICO

 

150,000

 

 

 

161,250

 

 

 

HOSPITALITY PROP TRUST

 

5% 15 Aug 2022

 

MEXICO

 

87,022

 

 

 

6,962

 

 

 

MEXICAN PESO (NEW)

 

FOREIGN CURRENCY

 

MEXICO

 

200,000,000

 

 

 

16,663,237

 

 

 

MICHAEL FOODS GROUP INC

 

9.75% 15 Jul 2018

 

MEXICO

 

1,029,971

 

 

 

79,314

 

 

 

PINNACLE FOODS FINANCE L

 

8.25% 01 Sep 2017

 

MEXICO

 

1,440,000

 

 

 

1,882,800

 

 

 

UNITED MEXICAN STATES

 

6.75% 27 Sep 2034

 

MEXICO

 

1,079,000

 

 

 

1,553,760

 

 

 

URBI DESARROLLOS URBANOS

 

9.5% 21 Jan 2020

 

MEXICO

 

100,000

 

 

 

94,500

 

 

 

INTESA SANPAOLO SPA

 

2.6881% 24 Feb 2014

 

NETHERLANDS

 

200,000

 

 

 

227,500

 

 

 

KAZMUNAIGAZ FINANCE SUB

 

8.375% 02 Jul 2013

 

NETHERLANDS

 

600,000

 

 

 

619,500

 

 

 

KINDER MORGAN FIN CO LLC

 

5.7% 05 Jan 2016

 

NETHERLANDS

 

1,300,000

 

 

 

1,551,875

 

 

 

MERITOR INC

 

8.125% 15 Sep 2015

 

NETHERLANDS

 

100,000

 

 

 

125,750

 

 

 

UNITED RENTALS NORTH AM

 

8.25% 01 Feb 2021

 

NETHERLANDS

 

125,000

 

 

 

141,250

 

 

 

AES PANAMA SA

 

6.35% 21 Dec 2016

 

PANAMA

 

200,000

 

 

 

219,500

 

 

 

MOHEGAN TRIBAL GAMING

 

7.125% 15 Aug 2014

 

PANAMA

 

650,000

 

 

 

667,875

 

 

 

REPUBLIC OF PERU

 

6.95% 12 Aug 2031

 

PANAMA

 

653,000

 

 

 

1,116,630

 

 

 

CORPORACION GEO SA DE CV

 

9.25% 30 Jun 2020

 

PERU

 

500,000

 

 

 

548,750

 

 

 

REPUBLIC OF PERU

 

7.84% 12 Aug 2020

 

PERU

 

500,000

 

 

 

724,500

 

 

 

REPUBLIC OF PERU

 

8.75% 21 Nov 2033

 

PERU

 

255,000

 

 

 

443,063

 

 

 

REPUBLIC OF PERU

 

7.35% 21 Jul 2025

 

PERU

 

2,500,000

 

 

 

1,234,378

 

 

 

REPUBLIC OF POLAND

 

6.375% 15 Jul 2019

 

PERU

 

500,000

 

 

 

246,405

 

 

 

POLISH ZLOTY

 

FOREIGN CURRENCY

 

POLAND

 

17,000,000

 

 

 

6,162,054

 

 

 

POLYMER GROUP INC

 

7.75% 01 Feb 2019

 

POLAND

 

322,500

 

 

 

104,204

 

 

 

REPUBLIC OF SOUTH AFRICA

 

7.25% 15 Jan 2020

 

POLAND

 

430,000

 

 

 

536,090

 

 

 

WARNER CHILCOTT CO LLC

 

7.75% 15 Sep 2018

 

PUERTO RICO

 

1,500,000

 

 

 

1,597,500

 

 

 

STEEL DYNAMICS INC

 

7.625% 15 Mar 2020

 

QATAR

 

200,000

 

 

 

239,000

 

 

 

RYMAN HOSPITALITY PROP

 

6.75% 15 Nov 2014

 

RUSSIAN FEDERATION

 

600,000

 

 

 

687,000

 

 

 

YANLORD LAND GROUP LTD

 

10.625% 29 Mar 2018

 

SINGAPORE

 

500,000

 

 

 

567,500

 

 

 

REPUBLIC OF SOUTH AFRICA

 

6.75% 31 Mar 2021

 

SOUTH AFRICA

 

46,000,000

 

 

 

5,548,638

 

 

 

REPUBLIC OF SOUTH AFRICA

 

8% 21 Dec 2018

 

SOUTH AFRICA

 

10,400,000

 

 

 

1,292,624

 

 

 

REPUBLIC OF TURKEY

 

7% 11 Mar 2019

 

SOUTH AFRICA

 

60,000,000

 

 

 

7,764,676

 

 

 

SPECTRUM BRANDS INC

 

9.5% 15 Jun 2018

 

SOUTH AFRICA

 

2,448,648

 

 

 

288,606

 

 

 

BONOS Y OBLIG DEL ESTADO

 

4.4% 31 Jan 2015

 

SPAIN

 

3,500,000

 

 

 

4,749,603

 

 

 

COMUNIDAD DE MADRID

 

4.2% 24 Sep 2014

 

SPAIN

 

1,200,000

 

 

 

1,528,010

 

 

 

THAILAND GOVERNMENT BOND

 

3.125% 11 Dec 2015

 

THAILAND

 

376,027

 

 

 

12,292

 

 

 

TNK BP FINANCE SA

 

6.25% 02 Feb 2015

 

THAILAND

 

100,000,000

 

 

 

3,283,397

 

 

 

PETRO CO TRIN/TOBAGO LTD

 

9.75% 14 Aug 2019

 

TRINIDAD AND TOBAGO

 

158,333

 

 

 

173,771

 

 

 

PETRO CO TRIN/TOBAGO LTD

 

9.75% 14 Aug 2019

 

TRINIDAD AND TOBAGO

 

100,000

 

 

 

132,900

 

 

 

PETROBRAS INTL FIN CO

 

7.875% 15 Mar 2019

 

TRINIDAD AND TOBAGO

 

100,000

 

 

 

132,900

 

 

 

REPUBLIC OF TURKEY

 

6.75% 30 May 2040

 

TURKEY

 

100,000

 

 

 

124,350

 

 

 

REPUBLIC OF TURKEY

 

7% 05 Jun 2020

 

TURKEY

 

1,400,000

 

 

 

1,662,500

 

 

 

REPUBLIC OF TURKEY

 

5.625% 30 Mar 2021

 

TURKEY

 

200,000

 

 

 

271,000

 

 

 

REPUBLIC OF VENEZUELA

 

7.75% 13 Oct 2019

 

TURKEY

 

500,000

 

 

 

637,500

 

 

 

TW TELECOM HOLDINGS INC

 

8% 01 Mar 2018

 

TURKEY

 

200,000

 

 

 

198,500

 

 

 

ECOPETROL SA

 

7.625% 23 Jul 2019

 

UNITED ARAB EMIRATES

 

200,000

 

 

 

234,250

 

 

 

DISH DBS CORP

 

6.625% 01 Oct 2014

 

UNITED KINGDOM

 

714,285

 

 

 

1,251,054

 

 

 

INEOS GROUP HOLDINGS SA

 

8.5% 15 Feb 2016

 

UNITED KINGDOM

 

200,000

 

 

 

212,500

 

 

 

INTELSAT JACKSON HLDG

 

7.25% 15 Oct 2020

 

UNITED KINGDOM

 

900,000

 

 

 

895,500

 

 

 

LBG CAPITAL NO.2 PLC

 

9.334% 07 Feb 2020

 

UNITED KINGDOM

 

700,000

 

 

 

1,322,751

 

 

 

LEHMAN BROTHERS HOLDINGS

 

1% 25 May 2010

 

UNITED KINGDOM

 

300,000

 

 

 

533,977

 

 

 

PROVIDENT FDG/PFG FIN

 

10.25% 15 Apr 2017

 

UNITED KINGDOM

 

3,840

 

 

 

6,242

 

 

 

RSHB(OJSC RUSS AGRIC BK)

 

7.175% 16 May 2013

 

UNITED KINGDOM

 

1,000,000

 

 

 

1,010,000

 

 

 

SPRINGLEAF FINL FDG CO

 

1% 10 May 2017

 

UNITED KINGDOM

 

200,000

 

 

 

299,092

 

 

 

SWPC054T9 CDS USD R F 5.00000

 

5% 20 Jun 2019

 

UNITED KINGDOM

 

(1,250,000

)

 

 

(1,250,000

)

 

 

SWPC110T1 CDS USD P V 03MEVENT

 

1% 20 Jun 2022

 

UNITED KINGDOM

 

1,250,000

 

 

 

1,251,676

 

 

 

SWPC118R7 CDS USD R F 1.00000

 

1% 20 Mar 2013

 

UNITED KINGDOM

 

(1,100,000

)

 

 

(1,100,000

)

 

 

SWPC136T1 CDS USD P V 03MEVENT

 

1% 20 Jun 2022

 

UNITED KINGDOM

 

1,100,000

 

 

 

1,101,735

 

 

 

SWPC136T1 CDS USD R F 1.00000

 

1% 20 Jun 2022

 

UNITED KINGDOM

 

(100,000

)

 

 

(100,000

)

 

 

SWPC179L6 CDS USD P V 03MEVENT

 

1% 20 Mar 2016

 

UNITED KINGDOM

 

100,000

 

 

 

93,430

 

 

 

SWPC241P1 CDS USD R F 1.00000

 

1% 20 Dec 2016

 

UNITED KINGDOM

 

(400,000

)

 

 

(400,000

)

 

 

SWPC244T0 CDS USD P V 06MEVENT

 

1% 20 Oct 2016

 

UNITED KINGDOM

 

400,000

 

 

 

404,256

 

 

 

SWPC294D4 CDS USD R F 5.00000

 

5% 20 Sep 2014

 

UNITED KINGDOM

 

(100,000

)

 

 

(100,000

)

 

 

SWPC299D9 CDS USD P V 03MEVENT

 

1% 20 Sep 2014

 

UNITED KINGDOM

 

100,000

 

 

 

106,712

 

 

 

SWPC553H1 CDS USD R F .25000

 

0.25% 20 Sep 2015

 

UNITED KINGDOM

 

(500,000

)

 

 

(500,000

)

 

 

SWPC639M8 CDS USD P V 03MEVENT

 

1% 20 Jun 2016

 

UNITED KINGDOM

 

500,000

 

 

 

498,030

 

 

 

SWPC670S5 CDS EUR R F 5.00000

 

5% 20 Jun 2015

 

UNITED KINGDOM

 

(200,000

)

 

 

(263,680

)

 

 

SWPC828U1 CDS USD P V 03MGBLO

 

1% 20 Dec 2017

 

UNITED KINGDOM

 

200,000

 

 

 

272,251

 

 

 

SWPC886M8 CDS USD R F 1.00000

 

1% 20 Sep 2016

 

UNITED KINGDOM

 

(1,200,000

)

 

 

(1,200,000

)

 

 

SWPC963M4 CDS JPY P V 03MEVENT

 

1% 20 Sep 2013

 

UNITED KINGDOM

 

1,200,000

 

 

 

1,225,312

 

 

 

SWPCN6629 CDS EUR R F 5.00000

 

5% 20 Dec 2013

 

UNITED KINGDOM

 

(500,000

)

 

 

(659,200

)

 

 

SWPCN6637 CDS EUR P V 03MEVENT

 

1% 20 Dec 2013

 

UNITED KINGDOM

 

500,000

 

 

 

688,703

 

 

 

SWU0694T5 IRS AUD R F 5.00000

 

5% 15 Jun 2022

 

UNITED KINGDOM

 

(2,000,000

)

 

 

(2,076,399

)

 

 

TELENET FINANCE V

 

6.75% 15 Aug 2024

 

UNITED KINGDOM

 

2,000,000

 

 

 

2,281,913

 

 

 

317523LK2 CDX.O P 1.30 IG19 5Y

 

MAR13 1.3 PUT

 

UNITED STATES

 

(1,000,000

)

 

 

(1,487

)

 

 

317U871C2 IRO USD 5Y P 1.4000

 

MAR13 1.4 PUT

 

UNITED STATES

 

(1,900,000

)

 

 

(593

)

 

 

317U872C1 IRO USD 5Y C 1.4000

 

MAR13 1.4 CALL

 

UNITED STATES

 

(1,900,000

)

 

 

(47,359

)

 

 

317U877C6 IRO USD 5Y C 1.7000

 

MAR13 1.7 CALL

 

UNITED STATES

 

(4,800,000

)

 

 

(189,610

)

 

 

317U878C5 IRO USD 5Y P 1.7000

 

MAR13 1.7 PUT

 

UNITED STATES

 

(4,800,000

)

 

 

(274

)

 

 

317U881C0 IRO USD 5Y P 1.7 CBK

 

MAR13 1.7 PUT

 

UNITED STATES

 

(1,000,000

)

 

 

(57

)

 

 

317U882C9 IRO USD 5Y C 1.7 CBK

 

MAR13 1.7 CALL

 

UNITED STATES

 

(1,000,000

)

 

 

(39,502

)

 

 

ADVANCED MICRO DEVICES

 

7.5% 15 Aug 2022

 

UNITED STATES

 

100,000

 

 

 

82,250

 

 

 

AES CORPORATION

 

8% 15 Oct 2017

 

UNITED STATES

 

800,000

 

 

 

852,000

 

 

 

AES CORPORATION

 

7.75% 01 Mar 2014

 

UNITED STATES

 

350,000

 

 

 

404,250

 

 

 

ALLY FINANCIAL INC

 

8.3% 12 Feb 2015

 

UNITED STATES

 

1,100,000

 

 

 

1,119,657

 

 

117



Table of Contents

 

 

 

ALLY FINANCIAL INC

 

6.75% 01 Dec 2014

 

UNITED STATES

 

500,000

 

 

 

556,875

 

 

 

ALLY FINANCIAL INC

 

1% 20 Jun 2014

 

UNITED STATES

 

3,100,000

 

 

 

3,171,207

 

 

 

ALLY FINANCIAL INC

 

3.51% 11 Feb 2014

 

UNITED STATES

 

40,000

 

 

 

43,189

 

 

 

AMER AIRLN PT TRS 11 1

 

7% 31 Jul 2019

 

UNITED STATES

 

89,475

 

 

 

92,606

 

 

 

AMERICAN AIRLINES INC

 

7.5% 15 Mar 2016

 

UNITED STATES

 

500,000

 

 

 

538,750

 

 

 

AMERICAN INTL GROUP

 

8.175% 15 May 2068

 

UNITED STATES

 

1,100,000

 

 

 

1,432,750

 

 

 

AMERICAN STORES COMPANY

 

7.1% 20 Mar 2028

 

UNITED STATES

 

100,000

 

 

 

81,750

 

 

 

AMERICAN TOWER CORP

 

4.7% 15 Mar 2022

 

UNITED STATES

 

400,000

 

 

 

442,566

 

 

 

ARAMARK CORP

 

1% 01 Feb 2015

 

UNITED STATES

 

390,000

 

 

 

391,954

 

 

 

ARAMARK CORP

 

8.5% 01 Feb 2015

 

UNITED STATES

 

550,000

 

 

 

547,938

 

 

 

BERRY PETROLEUM CO

 

10.25% 01 Jun 2014

 

UNITED STATES

 

975,000

 

 

 

1,079,813

 

 

 

BERRY PLASTICS CORP

 

8.25% 15 Nov 2015

 

UNITED STATES

 

600,000

 

 

 

691,500

 

 

 

BERRY PLASTICS CORP

 

9.75% 15 Jan 2021

 

UNITED STATES

 

800,000

 

 

 

801,200

 

 

 

BERRY PLASTICS CORP

 

1% 15 Feb 2015

 

UNITED STATES

 

1,000,000

 

 

 

1,045,000

 

 

 

BIOMET INC

 

10% 15 Oct 2017

 

UNITED STATES

 

500,000

 

 

 

498,750

 

 

 

BUMBLE BEE HOLDINGS INC

 

9% 15 Dec 2017

 

UNITED STATES

 

740,000

 

 

 

795,500

 

 

 

CAESARS ENTERTAINMENT OP

 

10% 15 Dec 2018

 

UNITED STATES

 

1,900,000

 

 

 

1,258,750

 

 

 

CEDC FIN CORP INTL INC

 

9.125% 01 Dec 2016

 

UNITED STATES

 

100,000

 

 

 

60,000

 

 

 

CHRYSLER GROUP LLC

 

1% 24 May 2017

 

UNITED STATES

 

1,477,500

 

 

 

1,506,636

 

 

 

CIT GROUP INC

 

4.25% 15 Aug 2017

 

UNITED STATES

 

1,700,000

 

 

 

1,750,561

 

 

 

CLEAR CHANNEL WORLDWIDE

 

6.5% 15 Nov 2022

 

UNITED STATES

 

500,000

 

 

 

518,750

 

 

 

CMS ENERGY CORP

 

5.05% 15 Feb 2018

 

UNITED STATES

 

200,000

 

 

 

225,207

 

 

 

CMS ENERGY CORP

 

4.25% 30 Sep 2015

 

UNITED STATES

 

500,000

 

 

 

530,530

 

 

 

CONCHO RESOURCES INC

 

7% 15 Jan 2021

 

UNITED STATES

 

100,000

 

 

 

111,500

 

 

 

CONSOL ENERGY INC

 

8% 01 Apr 2017

 

UNITED STATES

 

1,575,000

 

 

 

1,704,938

 

 

 

CORP FINANCI DE DESARROL

 

4.75% 08 Feb 2022

 

UNITED STATES

 

200,000

 

 

 

210,000

 

 

 

CS FIRST BOSTON COMMERCIAL MOR

 

2.3728% 25 Jun 2033

 

UNITED STATES

 

200,000

 

 

 

211,250

 

 

 

CSC HOLDINGS LLC

 

8.625% 15 Feb 2019

 

UNITED STATES

 

35,031

 

 

 

34,446

 

 

 

CSC HOLDINGS LLC

 

7.875% 15 Feb 2018

 

UNITED STATES

 

590,000

 

 

 

682,925

 

 

 

CSN ISLANDS IX CORP

 

10% 15 Jan 2015

 

UNITED STATES

 

800,000

 

 

 

956,000

 

 

 

DESARROLLADORA HOMEX SA

 

9.5% 11 Dec 2019

 

UNITED STATES

 

886,432

 

 

 

893,745

 

 

 

DISH DBS CORP

 

7.125% 01 Feb 2016

 

UNITED STATES

 

1,300,000

 

 

 

1,456,000

 

 

 

DOLE FOOD CO INC

 

1% 08 Jul 2018

 

UNITED STATES

 

200,000

 

 

 

215,000

 

 

 

DP WORLD LTD

 

6.85% 02 Jul 2037

 

UNITED STATES

 

856,368

 

 

 

857,036

 

 

 

EL PASO LLC

 

8.25% 15 Feb 2016

 

UNITED STATES

 

40,000

 

 

 

21,100

 

 

 

EL PASO LLC

 

12% 12 Dec 2013

 

UNITED STATES

 

500,000

 

 

 

558,297

 

 

 

EL PASO LLC

 

7% 15 Jun 2017

 

UNITED STATES

 

584,000

 

 

 

667,125

 

 

 

ENERGY FUTURE/EFIH FINAN

 

11.25% 01 Dec 2020

 

UNITED STATES

 

600,000

 

 

 

653,782

 

 

 

EP ENER/EVEREST ACQ FIN

 

7.75% 01 Sep 2022

 

UNITED STATES

 

1,000,000

 

 

 

1,127,500

 

 

 

EURO CURRENCY

 

FOREIGN CURRENCY

 

UNITED STATES

 

200,000

 

 

 

212,000

 

 

 

EXPORT IMPORT BK KOREA

 

5.125% 29 Jun 2020

 

UNITED STATES

 

100,000

 

 

 

84,750

 

 

 

FMG RESOURCES AUG 2006

 

7% 01 Nov 2015

 

UNITED STATES

 

83,295

 

 

 

83,179

 

 

 

FORD MOTOR CREDIT CO LLC

 

8.7% 01 Oct 2014

 

UNITED STATES

 

1,900,000

 

 

 

2,332,250

 

 

 

FORD MOTOR CREDIT CO LLC

 

5.625% 15 Sep 2015

 

UNITED STATES

 

900,000

 

 

 

985,531

 

 

 

FORTESCUE METALS GROUP LTD

 

1% 18 Oct 2017

 

UNITED STATES

 

600,000

 

 

 

671,989

 

 

 

GAZPROM (GAZ CAPITAL SA)

 

8.625% 28 Apr 2034

 

UNITED STATES

 

400,000

 

 

 

434,000

 

 

 

GOLD FIELDS OROGEN HOLD

 

4.875% 07 Oct 2020

 

UNITED STATES

 

600,000

 

 

 

697,500

 

 

 

HARVEST OPERATIONS CORP

 

6.875% 01 Oct 2017

 

UNITED STATES

 

100,000

 

 

 

110,125

 

 

 

HCA INC

 

7.875% 15 Feb 2020

 

UNITED STATES

 

260,000

 

 

 

274,625

 

 

 

HCA INC

 

9% 15 Dec 2014

 

UNITED STATES

 

1,700,000

 

 

 

1,912,500

 

 

 

HCA INC

 

6.5% 15 Feb 2020

 

UNITED STATES

 

400,000

 

 

 

445,000

 

 

 

HCA INC

 

9.875% 15 Feb 2017

 

UNITED STATES

 

800,000

 

 

 

892,000

 

 

 

HD SUPPLY INC

 

8.125% 15 Apr 2019

 

UNITED STATES

 

660,000

 

 

 

735,900

 

 

 

HERTZ CORP

 

1% 11 Mar 2018

 

UNITED STATES

 

200,000

 

 

 

228,000

 

 

 

HEXION US FIN/NOVA SCOTI

 

8.875% 01 Feb 2018

 

UNITED STATES

 

982,500

 

 

 

983,191

 

 

 

HIPOTECARIA SU CASITA SA

 

7.5% 29 Jun 2018

 

UNITED STATES

 

1,100,000

 

 

 

1,130,250

 

 

 

HUNGARIAN FORINT

 

FOREIGN CURRENCY

 

UNITED STATES

 

200,000

 

 

 

211,602

 

 

 

LEHMAN BROTHERS HOLDINGS

 

1% 10 Nov 2009

 

UNITED STATES

 

800,000

 

 

 

185,000

 

 

 

LIBERTY INTERACTIVE LLC

 

5.7% 15 May 2013

 

UNITED STATES

 

400,000

 

 

 

91,500

 

 

 

LINN ENERGY LLC/FIN CORP

 

7.75% 01 Feb 2021

 

UNITED STATES

 

40,000

 

 

 

40,550

 

 

 

LSI OPEN POSITION NET ASSET

 

64.01% 31 Dec 2060

 

UNITED STATES

 

1,000,000

 

 

 

1,065,000

 

 

 

MAJAPAHIT HOLDING BV

 

7.75% 20 Jan 2020

 

UNITED STATES

 

171,451

 

 

 

42,863

 

 

 

METROPS WIRELESS INC

 

1% 17 Mar 2018

 

UNITED STATES

 

575,000

 

 

 

605,188

 

 

 

MEX BONOS DESARR FIX RT

 

6.5% 09 Jun 2022

 

UNITED STATES

 

982,485

 

 

 

983,409

 

 

 

MMG FIDUC(AES EL SALV)

 

6.75% 01 Feb 2016

 

UNITED STATES

 

1,000,000

 

 

 

1,105,000

 

 

 

MORGAN STANLEY + CO INC

 

CASH COLL (CCP)

 

UNITED STATES

 

40,000

 

 

 

33,200

 

 

 

MYLAN INC

 

7.875% 15 Jul 2020

 

UNITED STATES

 

8,000

 

 

 

8,000

 

 

 

NEW ALBERTSONS INC

 

6.57% 23 Feb 2028

 

UNITED STATES

 

600,000

 

 

 

709,057

 

 

 

NEWFIELD EXPLORATION CO

 

6.875% 01 Feb 2020

 

UNITED STATES

 

600,000

 

 

 

319,500

 

 

 

NEWFIELD EXPLORATION CO

 

7.125% 15 May 2018

 

UNITED STATES

 

300,000

 

 

 

321,000

 

 

 

NGPL PIPECO LLC

 

9.625% 01 Jun 2019

 

UNITED STATES

 

200,000

 

 

 

211,000

 

 

 

NOBLE GROUP LTD

 

4.875% 05 Aug 2015

 

UNITED STATES

 

600,000

 

 

 

690,000

 

 

 

NOTA DO TESOURO NACIONAL

 

10% 01 Jan 2013

 

UNITED STATES

 

1,436,349

 

 

 

1,350,168

 

 

 

OXEA FINANCE/CY SCA

 

9.5% 15 Jul 2017

 

UNITED STATES

 

200,000

 

 

 

221,500

 

 

 

PERU ENHANCED PASS THRU

 

0% 31 May 2018

 

UNITED STATES

 

300,000

 

 

 

321,750

 

 

 

PITTSBURGH GLASS WORKS L

 

8.5% 15 Apr 2016

 

UNITED STATES

 

1,700,000

 

 

 

1,810,500

 

 

 

POLAND GOVERNMENT BOND

 

5.25% 25 Oct 2020

 

UNITED STATES

 

100,000

 

 

 

92,000

 

 

 

POUND STERLING

 

FOREIGN CURRENCY

 

UNITED STATES

 

1,500,000

 

 

 

1,608,750

 

 

 

PRUDENTIAL COVERED TRUST

 

2.997% 30 Sep 2015

 

UNITED STATES

 

300,000

 

 

 

330,750

 

 

 

QTEL INTERNATIONAL FIN

 

4.75% 16 Feb 2021

 

UNITED STATES

 

475,000

 

 

 

492,581

 

 

 

QUIKSILVER INC

 

6.875% 15 Apr 2015

 

UNITED STATES

 

400,000

 

 

 

395,000

 

 

 

RADIATION THERAPY SERVIC

 

9.875% 15 Apr 2017

 

UNITED STATES

 

40,000

 

 

 

39,300

 

 

 

RAIN CII CARBON LLC/CII

 

8% 01 Dec 2018

 

UNITED STATES

 

700,000

 

 

 

493,500

 

 

 

RBS GLOBAL + REXNORD COR

 

8.5% 01 May 2018

 

UNITED STATES

 

100,000

 

 

 

101,750

 

 

 

RED OAK POWER LLC

 

9.2% 30 Nov 2029

 

UNITED STATES

 

800,000

 

 

 

867,000

 

 

 

REGIONS FINANCIAL CORP

 

7.75% 10 Nov 2014

 

UNITED STATES

 

800,000

 

 

 

884,000

 

 

 

REPO BANK AMERICA

 

0%

 

UNITED STATES

 

1,000,000

 

 

 

1,108,800

 

 

 

REPUBLIC OF COLOMBIA

 

9.85% 28 Jun 2027

 

UNITED STATES

 

10,800,000

 

 

 

10,800,000

 

 

 

REYNOLDS GRP ISS/REYNOLD

 

8.5% 15 May 2018

 

UNITED STATES

 

1,300,000

 

 

 

1,332,500

 

 

 

ROCKIES EXPRESS PIPELINE

 

5.625% 15 Apr 2020

 

UNITED STATES

 

200,000

 

 

 

215,000

 

 

 

ROYAL BK SCOTLND GRP PLC

 

1% 31 Dec 2049

 

UNITED STATES

 

100,000

 

 

 

98,250

 

 

 

RZD CAPITAL PLC (RZD)

 

5.739% 03 Apr 2017

 

UNITED STATES

 

40,000

 

 

 

40,000

 

 

 

SANDRIDGE ENERGY INC

 

9.875% 15 May 2016

 

UNITED STATES

 

300,000

 

 

 

328,500

 

 

 

SANDRIDGE ENERGY INC

 

8.75% 15 Jan 2020

 

UNITED STATES

 

300,000

 

 

 

323,250

 

 

 

SBERBANK (SB CAP SA)

 

5.717% 16 Jun 2021

 

UNITED STATES

 

800,000

 

 

 

848,000

 

 

 

SEALY MATTRESS CO

 

8.25% 15 Jun 2014

 

UNITED STATES

 

200,000

 

 

 

222,500

 

 

 

SINOCHEM OVERSEAS CAPITA

 

4.5% 12 Nov 2020

 

UNITED STATES

 

40,000

 

 

 

40,100

 

 

 

SOUTH AFRICAN RAND

 

FOREIGN CURRENCY

 

UNITED STATES

 

162,174

 

 

 

164,360

 

 

 

SPIRIT ISSUER PLC

 

6.582% 28 Dec 2027

 

UNITED STATES

 

500,000

 

 

 

567,500

 

 

 

SPRINT CAPITAL CORP

 

6.9% 01 May 2019

 

UNITED STATES

 

1,000,000

 

 

 

993,390

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

UNITED STATES

 

2,000,000

 

 

 

2,180,000

 

 

 

STATE OF QATAR

 

5.25% 20 Jan 2020

 

UNITED STATES

 

213,122

 

 

 

213,122

 

 

 

STEEL DYNAMICS INC

 

6.75% 01 Apr 2015

 

UNITED STATES

 

400,000

 

 

 

442,000

 

 

118



Table of Contents

 

 

 

STRUCTURED ASSET SECURITIES CO

 

2.4791% 25 Jun 2033

 

UNITED STATES

 

100,000

 

 

 

101,250

 

 

 

SU CASITA

 

COMMON STOCK

 

UNITED STATES

 

63,543

 

 

 

62,822

 

 

 

SWAP BARCLAYS BOC

 

SWAP CASH COLLATERAL USD

 

UNITED STATES

 

10,518

 

 

 

0

 

 

 

SWAP HSBC BOC

 

SWAP CASH COLLATERAL USD

 

UNITED STATES

 

(280,000

)

 

 

(280,000

)

 

 

SWAP JPM CHASE BOC

 

SWAP CASH COLLATERAL USD

 

UNITED STATES

 

(90,000

)

 

 

(90,000

)

 

 

SWAP MORGAN STANLEY BOC

 

SWAP CASH COLLATERAL USD

 

UNITED STATES

 

(930,000

)

 

 

(930,000

)

 

 

SWAP UBS BOC

 

SWAP CASH COLLATERAL USD

 

UNITED STATES

 

(150,000

)

 

 

(150,000

)

 

 

SWPC054T9 CDS USD P V 03MEVENT

 

1% 20 Jun 2019

 

UNITED STATES

 

(560,000

)

 

 

(560,000

)

 

 

SWPC110T1 CDS USD R F 1.00000

 

1% 20 Jun 2022

 

UNITED STATES

 

(1,500,000

)

 

 

(1,500,000

)

 

 

SWPC118R7 CDS USD P V 03MEVENT

 

1% 20 Mar 2013

 

UNITED STATES

 

1,500,000

 

 

 

1,401,446

 

 

 

SWPC179L6 CDS USD R F 1.00000

 

1% 20 Mar 2016

 

UNITED STATES

 

(200,000

)

 

 

(200,000

)

 

 

SWPC192D7 CDS USD P V 03MEVENT

 

1% 20 Sep 2014

 

UNITED STATES

 

200,000

 

 

 

201,995

 

 

 

SWPC192D7 CDS USD R F 5.00000

 

5% 20 Sep 2014

 

UNITED STATES

 

(300,000

)

 

 

(300,000

)

 

 

SWPC241P1 CDS USD P V 03MEVENT

 

1% 20 Dec 2016

 

UNITED STATES

 

300,000

 

 

 

318,472

 

 

 

SWPC244T0 CDS USD R F 1.96000

 

1.96% 20 Oct 2016

 

UNITED STATES

 

(500,000

)

 

 

(500,000

)

 

 

SWPC246T8 CDS USD P V 03MEVENT

 

1% 20 Sep 2017

 

UNITED STATES

 

500,000

 

 

 

523,637

 

 

 

SWPC246T8 CDS USD R F 2.44000

 

2.44% 20 Sep 2017

 

UNITED STATES

 

(300,000

)

 

 

(300,000

)

 

 

SWPC249T5 CDS USD P V 03MEVENT

 

1% 20 Mar 2016

 

UNITED STATES

 

300,000

 

 

 

320,961

 

 

 

SWPC249T5 CDS USD R F 1.00000

 

1% 20 Mar 2016

 

UNITED STATES

 

(200,000

)

 

 

(200,000

)

 

 

SWPC253D3 CDS USD P V 03MEVENT

 

1% 20 Sep 2014

 

UNITED STATES

 

200,000

 

 

 

201,995

 

 

 

SWPC253D3 CDS USD R F 5.00000

 

5% 20 Sep 2014

 

UNITED STATES

 

(300,000

)

 

 

(300,000

)

 

 

SWPC260D4 CDS USD P V 03MEVENT

 

1% 20 Sep 2014

 

UNITED STATES

 

300,000

 

 

 

318,472

 

 

 

SWPC260D4 CDS USD R F 5.00000

 

5% 20 Sep 2014

 

UNITED STATES

 

(100,000

)

 

 

(100,000

)

 

 

SWPC27372 CDS USD P V 00MEVENT

 

1% 20 Jun 2018

 

UNITED STATES

 

100,000

 

 

 

106,157

 

 

 

SWPC27372 CDS USD R F 2.93000

 

2.93% 20 Jun 2018

 

UNITED STATES

 

(1,200,000

)

 

 

(1,200,000

)

 

 

SWPC294D4 CDS USD P V 03MEVENT

 

1% 20 Sep 2014

 

UNITED STATES

 

1,200,000

 

 

 

1,314,961

 

 

 

SWPC299D9 CDS USD R F 5.00000

 

5% 20 Sep 2014

 

UNITED STATES

 

(100,000

)

 

 

(100,000

)

 

 

SWPC485N1 CDS USD P V 03MEVENT

 

1% 20 Sep 2016

 

UNITED STATES

 

100,000

 

 

 

106,157

 

 

 

SWPC639M8 CDS USD R F 5.00000

 

5% 20 Jun 2016

 

UNITED STATES

 

(1,100,000

)

 

 

(1,100,000

)

 

 

SWPC649S3 CDS EUR P V 00MEVENT

 

1% 20 Jun 2014

 

UNITED STATES

 

1,100,000

 

 

 

1,199,760

 

 

 

SWPC828U1 CDS USD R F 5.00000

 

5% 20 Dec 2017

 

UNITED STATES

 

(2,300,000

)

 

 

(2,300,000

)

 

 

SWPC886M8 CDS USD P V 03MEVENT

 

1% 20 Sep 2016

 

UNITED STATES

 

2,300,000

 

 

 

2,307,022

 

 

 

SWPC963M4 CDS JPY R F 1.00000

 

1% 20 Sep 2013

 

UNITED STATES

 

(1,000,000

)

 

 

(11,565

)

 

 

SWPCN6629 CDS EUR P V 03MEVENT

 

1% 20 Dec 2013

 

UNITED STATES

 

1,000,000

 

 

 

11,429

 

 

 

SWPCN6637 CDS EUR R F 5.00000

 

5% 20 Dec 2013

 

UNITED STATES

 

(1,200,000

)

 

 

(1,582,080

)

 

 

SWU001RO4 IRS MXN P V 01MTIIE

 

4.3512% 02 Sep 2022

 

UNITED STATES

 

1,200,000

 

 

 

1,652,888

 

 

 

SWU001RO4 IRS MXN R F 5.50000

 

5.5% 02 Sep 2022

 

UNITED STATES

 

(11,000,000

)

 

 

(847,066

)

 

 

SWU023FB9 IRS BRL P V 00MCETIP

 

1% 02 Jan 2017

 

UNITED STATES

 

11,000,000

 

 

 

828,542

 

 

 

SWU023FB9 IRS BRL R F 8.42000

 

8.42% 02 Jan 2017

 

UNITED STATES

 

(6,000,000

)

 

 

(2,930,403

)

 

 

SWU0694T5 IRS AUD P V 06MBBSW

 

1% 15 Jun 2022

 

UNITED STATES

 

6,000,000

 

 

 

2,942,564

 

 

 

THAILAND BAHT

 

FOREIGN CURRENCY

 

UNITED STATES

 

300,000

 

 

 

341,250

 

 

 

TRANSDIGM INC

 

7.75% 15 Dec 2018

 

UNITED STATES

 

325,000

 

 

 

364,000

 

 

 

TREASURY BILL

 

0.000001% 22 Aug 2013

 

UNITED STATES

 

1,000,000

 

 

 

1,106,250

 

 

 

TREASURY BILL

 

0% 09 May 2013

 

UNITED STATES

 

52,000

 

 

 

51,974

 

 

 

TREASURY BILL

 

0% 14 Nov 2013

 

UNITED STATES

 

200,000

 

 

 

199,790

 

 

 

TURKIYE GARANTI BANKASI

 

1% 20 Apr 2016

 

UNITED STATES

 

300,000

 

 

 

299,525

 

 

 

TXU US HLDGS CO

 

1% 10 Oct 2017

 

UNITED STATES

 

1,500,000

 

 

 

1,642,500

 

 

 

UNITED AIRLINES INC

 

6.75% 15 Sep 2015

 

UNITED STATES

 

1,408,357

 

 

 

935,557

 

 

 

UPCB FINANCE VI LTD

 

6.875% 15 Jan 2022

 

UNITED STATES

 

1,300,000

 

 

 

1,465,750

 

 

 

US DOLLAR

 

 

 

UNITED STATES

 

326,397

 

 

 

326,397

 

 

 

US TREASURY N/B

 

2.375% 31 Aug 2014

 

UNITED STATES

 

142,000

 

 

 

147,026

 

 

 

USG CORP

 

9.75% 15 Jan 2018

 

UNITED STATES

 

200,000

 

 

 

226,500

 

 

 

VALEANT PHARMACEUTICALS

 

7% 01 Oct 2020

 

UNITED STATES

 

100,000

 

 

 

108,750

 

 

 

VANGUARD HLT HDG LLC/INC

 

8% 01 Feb 2018

 

UNITED STATES

 

1,000,000

 

 

 

1,035,000

 

 

 

WINDSTREAM CORP

 

7.875% 01 Nov 2017

 

UNITED STATES

 

200,000

 

 

 

225,000

 

 

 

REYNOLDS GRP ISS/REYNOLD

 

7.125% 15 Apr 2019

 

URUGUAY

 

100,000

 

 

 

154,400

 

 

 

PETROLEOS DE VENEZUELA S

 

4.9% 28 Oct 2014

 

VENEZUELA, BOLIVARIAN REP OF

 

100,000

 

 

 

70,000

 

 

 

PETROLEOS DE VENEZUELA S

 

8.5% 02 Nov 2017

 

VENEZUELA, BOLIVARIAN REP OF

 

1,100,000

 

 

 

1,086,250

 

 

 

PETROLEOS DE VENEZUELA S

 

5% 28 Oct 2015

 

VENEZUELA, BOLIVARIAN REP OF

 

100,000

 

 

 

95,600

 

 

 

PETROLEOS MEXICANOS

 

8% 03 May 2019

 

VENEZUELA, BOLIVARIAN REP OF

 

800,000

 

 

 

734,000

 

 

 

REPUBLICA ORIENT URUGUAY

 

7.625% 21 Mar 2036

 

VENEZUELA, BOLIVARIAN REP OF

 

100,000

 

 

 

94,250

 

 

 

CNOOC FINANCE 2012 LTD

 

3.875% 02 May 2022

 

VIRGIN ISLANDS, BRITISH

 

600,000

 

 

 

637,607

 

 

 

GRIFOLS INC

 

8.25% 01 Feb 2018

 

VIRGIN ISLANDS, BRITISH

 

500,000

 

 

 

491,381

 

 

 

SLM STUDENT LOAN TRUST

 

1.62075% 15 Aug 2025

 

VIRGIN ISLANDS, BRITISH

 

100,000

 

 

 

107,555

 

 

 

CURRENCY CONTRACT

 

BUYCOP/SELLUSD

 

 

 

 

 

 

 

31,953

 

 

 

CURRENCY CONTRACT

 

BUYGBP/SELLUSD

 

 

 

 

 

 

 

15

 

 

 

CURRENCY CONTRACT

 

BUYIDR/SELLUSD

 

 

 

 

 

 

 

150

 

 

 

CURRENCY CONTRACT

 

BUYIDR/SELLUSD

 

 

 

 

 

 

 

966

 

 

 

CURRENCY CONTRACT

 

BUYIDR/SELLUSD

 

 

 

 

 

 

 

682

 

 

 

CURRENCY CONTRACT

 

BUYIDR/SELLUSD

 

 

 

 

 

 

 

69,266

 

 

 

CURRENCY CONTRACT

 

BUYIDR/SELLUSD

 

 

 

 

 

 

 

336

 

 

 

CURRENCY CONTRACT

 

BUYIDR/SELLUSD

 

 

 

 

 

 

 

(7

)

 

 

CURRENCY CONTRACT

 

BUYKRW/SELLUSD

 

 

 

 

 

 

 

24,723

 

 

 

CURRENCY CONTRACT

 

BUYMXN/SELLUSD

 

 

 

 

 

 

 

(409

)

 

 

CURRENCY CONTRACT

 

BUYMYR/SELLUSD

 

 

 

 

 

 

 

59,689

 

 

 

CURRENCY CONTRACT

 

BUYPHP/SELLUSD

 

 

 

 

 

 

 

10,695

 

 

 

CURRENCY CONTRACT

 

BUYPLN/SELLUSD

 

 

 

 

 

 

 

7,085

 

 

 

CURRENCY CONTRACT

 

BUYPLN/SELLUSD

 

 

 

 

 

 

 

263,930

 

 

 

CURRENCY CONTRACT

 

BUYRUB/SELLUSD

 

 

 

 

 

 

 

547,128

 

 

 

CURRENCY CONTRACT

 

BUYSGD/SELLUSD

 

 

 

 

 

 

 

384

 

 

 

CURRENCY CONTRACT

 

BUYSGD/SELLUSD

 

 

 

 

 

 

 

203

 

 

 

CURRENCY CONTRACT

 

BUYSGD/SELLUSD

 

 

 

 

 

 

 

50

 

 

 

CURRENCY CONTRACT

 

BUYTHB/SELLUSD

 

 

 

 

 

 

 

363

 

 

 

CURRENCY CONTRACT

 

BUYTHB/SELLUSD

 

 

 

 

 

 

 

24

 

 

 

CURRENCY CONTRACT

 

BUYTHB/SELLUSD

 

 

 

 

 

 

 

(11

)

 

 

CURRENCY CONTRACT

 

BUYTRY/SELLUSD

 

 

 

 

 

 

 

27,226

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLBRL

 

 

 

 

 

 

 

(35,984

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

 

 

(102,171

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

 

 

(38,501

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLIDR

 

 

 

 

 

 

 

(3,615

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLIDR

 

 

 

 

 

 

 

(1,303

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLIDR

 

 

 

 

 

 

 

(4,692

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLMXN

 

 

 

 

 

 

 

4,424

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLZAR

 

 

 

 

 

 

 

(14,191

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLZAR

 

 

 

 

 

 

 

(20,187

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLZAR

 

 

 

 

 

 

 

(12,714

)

 

 

CURRENCY CONTRACT

 

BUYZAR/SELLUSD

 

 

 

 

 

 

 

22,906

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT G - High Yield and Emerging Markets Bond Fund

 

 

 

 

 

$

245,775,409

 

 


 

 

n / a - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

 

 

119



Table of Contents

 

EXHIBIT H - International Real Estate Index Fund

(Managed by BlackRock Institutional Trust Company)

 

IBM 401(k) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

ASX SPI 200 INDEX FUTURES

 

MAR13 XSFE

 

AUSTRALIA

 

150

 

 

 

$

2,180

 

 

 

AUSTRALIAN DOLLAR

 

FOREIGN CURRENCY

 

AUSTRALIA

 

118,832

 

 

 

123,372

 

 

 

AZ. BGP HOLDINGS

 

COMMON STOCK

 

AUSTRALIA

 

6,007,914

 

 

 

111

 

 

 

BWP TRUST

 

REIT NPV

 

AUSTRALIA

 

343,970

 

 

 

776,191

 

 

 

CENTRO RETAIL AUSTRALIA

 

REIT

 

AUSTRALIA

 

934,745

 

 

 

2,212,567

 

 

 

CFS RETAIL PROPERTY TRUST GR

 

REIT NPV

 

AUSTRALIA

 

1,385,227

 

 

 

2,774,908

 

 

 

CHARTER HALL RETAIL REIT

 

REIT NPV

 

AUSTRALIA

 

214,119

 

 

 

839,441

 

 

 

COMMONWEALTH PROPERTY OFFICE

 

REIT NPV

 

AUSTRALIA

 

1,559,278

 

 

 

1,666,664

 

 

 

DEXUS PROPERTY GROUP

 

REIT NPV

 

AUSTRALIA

 

3,168,895

 

 

 

3,359,192

 

 

 

GPT GROUP

 

REIT NPV

 

AUSTRALIA

 

1,157,001

 

 

 

4,469,752

 

 

 

INVESTA OFFICE FUND

 

REIT NPV

 

AUSTRALIA

 

402,117

 

 

 

1,253,215

 

 

 

WESTFIELD GROUP

 

REIT NPV

 

AUSTRALIA

 

1,511,272

 

 

 

16,671,931

 

 

 

WESTFIELD RETAIL TRUST

 

REIT

 

AUSTRALIA

 

2,000,058

 

 

 

6,293,250

 

 

 

CA IMMOBILIEN ANLAGEN AG

 

COMMON STOCK

 

AUSTRIA

 

57,534

 

 

 

797,508

 

 

 

BEFIMMO S.C.A.

 

REIT NPV

 

BELGIUM

 

12,226

 

 

 

787,897

 

 

 

COFINIMMO

 

REIT NPV

 

BELGIUM

 

10,126

 

 

 

1,197,611

 

 

 

INTERVEST OFFICES+WAREHOUSES

 

REIT

 

BELGIUM

 

4,827

 

 

 

128,767

 

 

 

LEASINVEST REAL ESTATE SCA

 

REIT NPV

 

BELGIUM

 

1,071

 

 

 

94,415

 

 

 

WAREHOUSES DE PAUW SCA

 

REIT NPV

 

BELGIUM

 

6,974

 

 

 

436,793

 

 

 

WERELDHAVE BELGIUM

 

REIT NPV

 

BELGIUM

 

1,674

 

 

 

179,618

 

 

 

HONGKONG LAND HOLDINGS LTD

 

COMMON STOCK USD.1

 

BERMUDA

 

1,153,000

 

 

 

8,108,833

 

 

 

ALLIED PROPERTIES REAL ESTAT

 

REIT NPV

 

CANADA

 

39,301

 

 

 

1,302,534

 

 

 

ARTIS REAL ESTATE INVESTMENT

 

REIT NPV

 

CANADA

 

71,873

 

 

 

1,128,948

 

 

 

BOARDWALK REAL ESTATE INVEST

 

REIT NPV

 

CANADA

 

31,331

 

 

 

2,030,521

 

 

 

BROOKFIELD OFFICE PROPERTIES

 

COMMON STOCK NPV

 

CANADA

 

245,857

 

 

 

4,187,742

 

 

 

CALLOWAY REAL ESTATE INVESTM

 

REIT NPV

 

CANADA

 

69,980

 

 

 

2,034,670

 

 

 

CAN APARTMENT PROP REAL ESTA

 

REIT NPV

 

CANADA

 

66,275

 

 

 

1,657,374

 

 

 

CAN REAL ESTATE INVEST TRUST

 

REIT NPV

 

CANADA

 

44,334

 

 

 

1,930,624

 

 

 

CANADIAN DOLLAR

 

FOREIGN CURRENCY

 

CANADA

 

84,409

 

 

 

84,773

 

 

 

CHARTWELL SENIORS HOUSING RE

 

REIT NPV

 

CANADA

 

111,452

 

 

 

1,216,715

 

 

 

COMINAR REAL ESTATE INV TR U

 

REIT NPV

 

CANADA

 

80,814

 

 

 

1,831,849

 

 

 

CROMBIE REAL ESTATE INVESTME

 

REIT

 

CANADA

 

32,989

 

 

 

489,020

 

 

 

DUNDEE INTERNATIONAL REAL ES

 

REIT

 

CANADA

 

44,644

 

 

 

490,066

 

 

 

DUNDEE REAL ESTATE INVESTM A

 

REIT NPV

 

CANADA

 

63,110

 

 

 

2,372,409

 

 

 

EXTENDICARE INC

 

COMMON STOCK NPV

 

CANADA

 

55,868

 

 

 

429,236

 

 

 

FIRST CAPITAL REALTY INC

 

COMMON STOCK NPV

 

CANADA

 

53,014

 

 

 

1,002,032

 

 

 

GRANITE REAL ESTATE INC

 

REIT NPV

 

CANADA

 

30,714

 

 

 

1,164,769

 

 

 

H+R REAL ESTATE INV REIT UTS

 

REIT NPV

 

CANADA

 

126,803

 

 

 

3,069,150

 

 

 

INNVEST REAL ESTATE INVESTME

 

REIT

 

CANADA

 

62,310

 

 

 

258,452

 

 

 

KILLAM PROPERTIES INC

 

COMMON STOCK

 

CANADA

 

32,629

 

 

 

406,035

 

 

 

KILLAM PROPERTIES INC

 

COMMON STOCK

 

CANADA

 

2,224

 

 

 

27,898

 

 

 

MORGUARD REAL ESTATE TR UTS

 

REIT NPV

 

CANADA

 

29,772

 

 

 

546,582

 

 

 

NORTHERN PROPERTY REAL ESTAT

 

REIT

 

CANADA

 

20,921

 

 

 

649,251

 

 

 

NORTHWEST HEALTHCARE PROPERT

 

REIT

 

CANADA

 

23,407

 

 

 

293,381

 

 

 

PRIMARIS RETAIL REAL ESTATE

 

REIT NPV

 

CANADA

 

64,048

 

 

 

1,730,332

 

 

 

RIOCAN REAL ESTATE INVST TR

 

REIT NPV

 

CANADA

 

193,869

 

 

 

5,366,104

 

 

 

CITYCON OYJ

 

COMMON STOCK NPV

 

FINLAND

 

160,525

 

 

 

544,980

 

 

 

SPONDA OYJ

 

COMMON STOCK NPV

 

FINLAND

 

185,375

 

 

 

883,349

 

 

 

TECHNOPOLIS OYJ

 

COMMON STOCK NPV

 

FINLAND

 

49,449

 

 

 

246,318

 

 

 

AFFINE

 

REIT NPV

 

FRANCE

 

3,081

 

 

 

51,186

 

 

 

ANF IMMOBILIER

 

REIT EUR1.

 

FRANCE

 

7,468

 

 

 

238,269

 

 

 

FONCIERE DES REGIONS

 

REIT EUR3.

 

FRANCE

 

18,952

 

 

 

1,586,485

 

 

 

GECINA SA

 

REIT EUR7.5

 

FRANCE

 

11,887

 

 

 

1,325,153

 

 

 

ICADE

 

REIT NPV

 

FRANCE

 

13,572

 

 

 

1,216,110

 

 

 

KLEPIERRE

 

REIT EUR1.4

 

FRANCE

 

63,781

 

 

 

2,567,732

 

 

 

MERCIALYS

 

REIT EUR1.

 

FRANCE

 

30,114

 

 

 

683,704

 

 

 

SILIC

 

REIT EUR4.

 

FRANCE

 

8,516

 

 

 

934,236

 

 

 

STE DE LA TOUR EIFFEL

 

REIT EUR5.

 

FRANCE

 

3,974

 

 

 

233,769

 

 

 

UNIBAIL RODAMCO SE

 

REIT EUR5.

 

FRANCE

 

60,403

 

 

 

14,769,675

 

 

 

ALSTRIA OFFICE REIT AG

 

REIT

 

GERMANY

 

51,652

 

 

 

631,632

 

 

 

COLONIA REAL ESTATE AG

 

REIT NPV

 

GERMANY

 

8,719

 

 

 

53,400

 

 

 

DEUTSCHE EUROSHOP AG

 

COMMON STOCK NPV

 

GERMANY

 

35,226

 

 

 

1,469,268

 

 

 

DEUTSCHE WOHNEN AG BR

 

COMMON STOCK NPV

 

GERMANY

 

95,703

 

 

 

1,765,273

 

 

 

DIC ASSET AG

 

COMMON STOCK NPV

 

GERMANY

 

22,884

 

 

 

220,264

 

 

 

GSW IMMOBILIEN AG

 

COMMON STOCK

 

GERMANY

 

33,088

 

 

 

1,396,923

 

 

 

HAMBORNER REIT AG

 

REIT NPV

 

GERMANY

 

30,275

 

 

 

299,220

 

 

 

PRIME OFFICE REIT AG

 

REIT

 

GERMANY

 

26,509

 

 

 

113,005

 

 

 

EUROBANK PROPERTIES REAL EST

 

REIT EUR2.13

 

GREECE

 

12,580

 

 

 

81,211

 

 

 

F+C COMMERCIAL PROPERTY TRUST

 

F+C COMMERCIAL PROPERTY TRUS

 

GUERNSEY

 

360,027

 

 

 

616,300

 

 

120



Table of Contents

 

 

 

F+C UK REAL ESTATE INVESTMENT

 

F+C UK REAL ESTATE INVESTMEN

 

GUERNSEY

 

73,733

 

 

 

72,262

 

 

 

PICTON PROPERTY INCOME LTD

 

PICTON PROPERTY INCOME LTD

 

GUERNSEY

 

227,744

 

 

 

133,656

 

 

 

SCHRODER REAL ESTATE INVESTM

 

COMMON STOCK NPV

 

GUERNSEY

 

240,902

 

 

 

151,500

 

 

 

STANDARD LIFE INVESTMENT PROPE

 

STANDARD LIFE INV PROP INC

 

GUERNSEY

 

91,173

 

 

 

84,713

 

 

 

UK COMMERCIAL PROPERTY TRUST L

 

UK COMMERCIAL PROPERTY TRUST

 

GUERNSEY

 

319,833

 

 

 

342,524

 

 

 

CHAMPION REIT

 

REIT NPV

 

HONG KONG

 

1,857,000

 

 

 

892,822

 

 

 

HANG LUNG PROPERTIES LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

1,462,000

 

 

 

5,861,897

 

 

 

HONG KONG DOLLAR

 

FOREIGN CURRENCY

 

HONG KONG

 

129,203

 

 

 

16,670

 

 

 

HYSAN DEVELOPMENT CO

 

COMMON STOCK HKD5.

 

HONG KONG

 

521,000

 

 

 

2,522,971

 

 

 

LINK REIT

 

REIT NPV

 

HONG KONG

 

1,496,000

 

 

 

7,491,812

 

 

 

SWIRE PROPERTIES LTD

 

COMMON STOCK HKD1.

 

HONG KONG

 

766,200

 

 

 

2,576,659

 

 

 

EURO CURRENCY

 

FOREIGN CURRENCY

 

INTERNATIONAL

 

31,449

 

 

 

41,462

 

 

 

AZRIELI GROUP

 

COMMON STOCK ILS.1

 

ISRAEL

 

23,901

 

 

 

616,147

 

 

 

ISRAELI SHEKEL

 

FOREIGN CURRENCY

 

ISRAEL

 

2,035

 

 

 

546

 

 

 

BENI STABILI SPA

 

REIT EUR.1

 

ITALY

 

604,277

 

 

 

356,624

 

 

 

BENI STABILI SPA

 

REIT EUR.1

 

ITALY

 

28,718

 

 

 

16,329

 

 

 

IMMOBILIARE GRANDE DISTRIBUZ

 

REIT NPV

 

ITALY

 

82,912

 

 

 

89,784

 

 

 

ACTIVIA PROPERTIES INC

 

REIT

 

JAPAN

 

134

 

 

 

840,279

 

 

 

ADVANCE RESIDENCE INVESTMENT

 

REIT

 

JAPAN

 

540

 

 

 

1,106,833

 

 

 

AEON MALL CO LTD

 

COMMON STOCK

 

JAPAN

 

59,300

 

 

 

1,452,308

 

 

 

DAIWAHOUSE RESIDENTIAL INV

 

REIT

 

JAPAN

 

105

 

 

 

820,992

 

 

 

FRONTIER REAL ESTATE INVEST

 

REIT

 

JAPAN

 

149

 

 

 

1,301,342

 

 

 

INDUSTRIAL + INFRASTRUCTURE

 

REIT

 

JAPAN

 

92

 

 

 

687,544

 

 

 

JAPAN EXCELLENT INC

 

REIT

 

JAPAN

 

123

 

 

 

689,873

 

 

 

JAPAN PRIME REALTY INVESTMEN

 

REIT

 

JAPAN

 

540

 

 

 

1,561,043

 

 

 

JAPAN REAL ESTATE INVESTMENT

 

REIT

 

JAPAN

 

386

 

 

 

3,793,631

 

 

 

JAPAN RETAIL FUND INVESTMENT

 

REIT

 

JAPAN

 

1,359

 

 

 

2,497,686

 

 

 

JAPANESE YEN

 

FOREIGN CURRENCY

 

JAPAN

 

2,574,551

 

 

 

29,776

 

 

 

KENEDIX REALTY INVESTMENT CO

 

REIT

 

JAPAN

 

187

 

 

 

651,405

 

 

 

MORI HILLS REIT INVESTMENT C

 

REIT

 

JAPAN

 

151

 

 

 

808,729

 

 

 

MORI TRUST SOGO REIT INC

 

REIT

 

JAPAN

 

119

 

 

 

1,002,902

 

 

 

NIPPON ACCOMMODATIONS FUND

 

REIT

 

JAPAN

 

96

 

 

 

666,458

 

 

 

NIPPON BUILDING FUND INC

 

REIT

 

JAPAN

 

398

 

 

 

4,111,597

 

 

 

NOMURA REAL ESTATE OFFICE FU

 

REIT

 

JAPAN

 

198

 

 

 

1,138,314

 

 

 

ORIX JREIT INC

 

REIT

 

JAPAN

 

141

 

 

 

694,101

 

 

 

PREMIER INVESTMENT CORP

 

REIT

 

JAPAN

 

129

 

 

 

476,418

 

 

 

TOKYU REIT INC

 

REIT

 

JAPAN

 

83

 

 

 

451,715

 

 

 

TOP REIT INC

 

REIT

 

JAPAN

 

102

 

 

 

439,500

 

 

 

UNITED URBAN INVESTMENT CORP

 

REIT

 

JAPAN

 

1,377

 

 

 

1,580,816

 

 

 

GAGFAH SA

 

COMMON STOCK EUR1.25

 

LUXEMBOURG

 

51,151

 

 

 

597,833

 

 

 

CORIO NV

 

REIT EUR10.

 

NETHERLANDS

 

47,241

 

 

 

2,146,619

 

 

 

EUROCOMMERCIAL PROPERTIE CV

 

REIT EUR.5

 

NETHERLANDS

 

26,703

 

 

 

1,064,272

 

 

 

NIEUWE STEEN INVESTMENTS NV

 

REIT EUR.46

 

NETHERLANDS

 

43,905

 

 

 

352,889

 

 

 

NIEUWE STEEN INVESTMENTS NV WT

 

CALL EXP 01APR13

 

NETHERLANDS

 

13,165

 

 

 

0

 

 

 

VASTNED RETAIL NV

 

REIT EUR5.

 

NETHERLANDS

 

12,466

 

 

 

540,680

 

 

 

WERELDHAVE NV

 

REIT EUR10.

 

NETHERLANDS

 

14,197

 

 

 

914,037

 

 

 

KIWI INCOME PROPERTY TRUST

 

REIT NPV

 

NEW ZEALAND

 

647,438

 

 

 

615,577

 

 

 

NEW ZEALAND DOLLAR

 

FOREIGN CURRENCY

 

NEW ZEALAND

 

559

 

 

 

461

 

 

 

NORWEGIAN KRONE

 

FOREIGN CURRENCY

 

NORWAY

 

209,690

 

 

 

37,679

 

 

 

NORWEGIAN PROPERTY ASA

 

COMMON STOCK NOK.5

 

NORWAY

 

356,319

 

 

 

548,130

 

 

 

ASCENDAS REAL ESTATE INV TRT

 

REIT NPV

 

SINGAPORE

 

1,465,200

 

 

 

2,870,590

 

 

 

CAPITACOMMERCIAL TRUST

 

REIT NPV

 

SINGAPORE

 

1,385,000

 

 

 

1,914,610

 

 

 

CAPITAMALL TRUST

 

REIT NPV

 

SINGAPORE

 

1,694,800

 

 

 

2,969,797

 

 

 

CDL HOSPITALITY TRUSTS

 

REIT

 

SINGAPORE

 

475,000

 

 

 

734,165

 

 

 

GLOBAL LOGISTIC PROPERTIES L

 

COMMON STOCK NPV

 

SINGAPORE

 

1,505,000

 

 

 

3,460,679

 

 

 

MAPLETREE COMMERCIAL TRUST

 

REIT NPV

 

SINGAPORE

 

914,000

 

 

 

913,375

 

 

 

MAPLETREE INDUSTRIAL TRUST

 

REIT NPV

 

SINGAPORE

 

799,400

 

 

 

893,361

 

 

 

MAPLETREE LOGISTICS TRUST 20

 

REIT NPV

 

SINGAPORE

 

1,191,968

 

 

 

1,121,194

 

 

 

SINGAPORE DOLLAR

 

FOREIGN CURRENCY

 

SINGAPORE

 

17,632

 

 

 

14,434

 

 

 

SUNTEC REIT

 

REIT NPV

 

SINGAPORE

 

1,461,000

 

 

 

2,013,717

 

 

 

CASTELLUM AB

 

COMMON STOCK NPV

 

SWEDEN

 

107,357

 

 

 

1,525,754

 

 

 

FABEGE AB

 

COMMON STOCK NPV

 

SWEDEN

 

106,251

 

 

 

1,075,084

 

 

 

FASTIGHETS AB BALDER B SHRS

 

COMMON STOCK NPV

 

SWEDEN

 

74,261

 

 

 

426,647

 

 

 

HUFVUDSTADEN AB A SHS

 

COMMON STOCK NPV

 

SWEDEN

 

97,243

 

 

 

1,232,913

 

 

 

KLOVERN AB

 

COMMON STOCK SEK5.

 

SWEDEN

 

83,364

 

 

 

328,227

 

 

 

KUNGSLEDEN AB

 

COMMON STOCK NPV

 

SWEDEN

 

89,392

 

 

 

489,969

 

 

 

SWEDISH KRONA

 

FOREIGN CURRENCY

 

SWEDEN

 

37,817

 

 

 

5,813

 

 

 

WALLENSTAM AB B SHS

 

COMMON STOCK NPV

 

SWEDEN

 

76,005

 

 

 

933,266

 

 

 

WIHLBORGS FASTIGHETER AB

 

COMMON STOCK NPV

 

SWEDEN

 

50,331

 

 

 

790,531

 

 

 

MOBIMO HOLDING AG REG

 

COMMON STOCK CHF29.

 

SWITZERLAND

 

4,032

 

 

 

965,270

 

 

 

PSP SWISS PROPERTY AG REG

 

COMMON STOCK CHF.1

 

SWITZERLAND

 

30,303

 

 

 

2,873,671

 

 

 

SWISS FRANC

 

FOREIGN CURRENCY

 

SWITZERLAND

 

5,147

 

 

 

5,623

 

 

 

SWISS PRIME SITE REG

 

COMMON STOCK CHF15.3

 

SWITZERLAND

 

39,164

 

 

 

3,274,446

 

 

 

BIG YELLOW GROUP PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

85,526

 

 

 

491,746

 

 

 

BRITISH LAND CO PLC

 

REIT GBP.25

 

UNITED KINGDOM

 

579,396

 

 

 

5,390,000

 

 

 

CAPITAL + COUNTIES PROPERTIE

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

493,195

 

 

 

1,944,961

 

 

 

DAEJAN HOLDINGS PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

3,227

 

 

 

162,668

 

 

 

DERWENT LONDON PLC

 

REIT GBP.05

 

UNITED KINGDOM

 

66,561

 

 

 

2,289,913

 

 

 

GREAT PORTLAND ESTATES PLC

 

REIT GBP.125

 

UNITED KINGDOM

 

224,691

 

 

 

1,796,277

 

 

 

HAMMERSON PLC

 

REIT GBP.25

 

UNITED KINGDOM

 

463,365

 

 

 

3,735,811

 

 

 

HANSTEEN HOLDINGS PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

418,348

 

 

 

560,335

 

 

 

INTU PROPERTIES PLC

 

REIT GBP.5

 

UNITED KINGDOM

 

426,548

 

 

 

2,401,516

 

 

121



Table of Contents

 

 

 

LAND SECURITIES GROUP PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

509,894

 

 

 

6,898,128

 

 

 

LONDONMETRIC PROPERTY PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

357,421

 

 

 

632,394

 

 

 

MUCKLOW (A + J) GROUP PLC

 

REIT GBP.25

 

UNITED KINGDOM

 

40,038

 

 

 

232,627

 

 

 

POUND STERLING

 

FOREIGN CURRENCY

 

UNITED KINGDOM

 

20,956

 

 

 

34,064

 

 

 

PRIMARY HEALTH PROPERTIES

 

REIT GBP.5

 

UNITED KINGDOM

 

49,794

 

 

 

282,776

 

 

 

SAFESTORE HOLDINGS PLC

 

REIT GBP.01

 

UNITED KINGDOM

 

124,856

 

 

 

219,953

 

 

 

SEGRO PLC

 

REIT GBP.1

 

UNITED KINGDOM

 

485,691

 

 

 

1,992,802

 

 

 

SHAFTESBURY PLC

 

REIT GBP.25

 

UNITED KINGDOM

 

163,693

 

 

 

1,525,069

 

 

 

UNITE GROUP PLC

 

COMMON STOCK GBP.25

 

UNITED KINGDOM

 

104,568

 

 

 

470,400

 

 

 

WORKSPACE GROUP PLC

 

REIT GBP1.

 

UNITED KINGDOM

 

95,665

 

 

 

471,561

 

 

 

MSCI EAFE MINI INDEX FUTURES

 

MAR13 XNLI

 

UNITED STATES

 

850

 

 

 

10,905

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

UNITED STATES

 

1,145,810

 

 

 

1,145,810

 

 

 

US DOLLAR

 

 

 

UNITED STATES

 

224,437

 

 

 

224,437

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT H - International Real Estate Index Fund

 

 

 

 

 

$

238,439,248

 

 


 

 

n / a - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

 

 

122



Table of Contents

 

EXHIBIT I - Investments - Collateral

(Held by Brokers)

 

IBM 401(k) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

 

 

(c)  Description of investment including maturity date,

 

 

 

 

 

 

 

 

 

rate of interest, collateral, par, or maturity value

 

 

 

 

 

 

 

(b) Identity of issue, borrower,

 

Issuer Name

 

 

 

Maturity

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

Product

 

Coupon %

 

Date

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

 

 

(n / a)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

UNITED STATES DOLLAR

 

UNITED STATES

 

 

 

 

 

 

 

$

11,819,502

 

 

 

US TREASURY N/B

 

UNITED STATES

 

0.375

 

31-Jul-13

 

 

 

1,501,114

 

 

 

US TREASURY N/B

 

UNITED STATES

 

3.125

 

15-Nov-41

 

 

 

488,818

 

 

 

US TREASURY N/B

 

UNITED STATES

 

8.000

 

15-Nov-21

 

 

 

15,441

 

 

 

TSY INFL IX N/B

 

UNITED STATES

 

0.125

 

15-Jul-22

 

 

 

510,209

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Collateral - Held by Brokers

 

 

 

 

 

 

 

 

 

$

14,335,084

 

 


 

 

n / a - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

 

 

123



Table of Contents

 

EXHIBIT J - Interest Income Fund

(Managed by various investment companies)

 

IBM 401(K) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

10YR RTP SWAPTION 3.9BRSCU2EW1

 

SEP13 3.9 PUT

 

15,400,000

 

 

 

$

12,786

 

 

 

10YR RTP SWAPTION BRSEAU622

 

MAR17 4.5 PUT

 

16,600,000

 

 

 

399,764

 

 

 

10YR RTP SWAPTION BRSEAUAB7

 

MAR17 6 PUT

 

(33,200,000

)

 

 

(344,209

)

 

 

10YR RTR SWAPTION BRSCU2FB6

 

SEP13 2.15 CALL

 

(15,400,000

)

 

 

(459,050

)

 

 

10YR US TREASURY NOTE FTR OPTN

 

MAR13 131.5 PUT

 

213,000

 

 

 

93,188

 

 

 

10YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

(37,800,000

)

 

 

182,627

 

 

 

2YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

97,000,000

 

 

 

30,225

 

 

 

30YR RTP SWAPTION BRSCVGW09

 

SEP13 4.5 PUT

 

11,900,000

 

 

 

1,692

 

 

 

30YR RTP SWAPTION BRSD5EW43

 

OCT13 4.50 PUT

 

11,900,000

 

 

 

2,888

 

 

 

30YR RTP SWAPTION BRSDAJ5C8

 

NOV13 4.5 PUT

 

7,600,000

 

 

 

2,404

 

 

 

30YR RTP SWAPTION BRSEQ9G96

 

MAY13 4.0 PUT

 

34,600,000

 

 

 

243

 

 

 

30YR US TREASURY BOND FUTURE

 

MAR13 XCBT

 

(22,300,000

)

 

 

428,163

 

 

 

5YR RTP SWAPTION BRSDVRGD3

 

JAN14 1.965 PUT

 

(9,400,000

)

 

 

(34,563

)

 

 

5YR RTP SWAPTION BRSEREF38

 

MAY14 2.40 PUT

 

(9,200,000

)

 

 

(33,563

)

 

 

5YR RTP SWAPTION BRSEYU220

 

JUN14 2.25 PUT

 

(34,000,000

)

 

 

(170,179

)

 

 

5YR RTP SWAPTION BRSF1ND84

 

JUN14 2.20 PUT

 

(9,800,000

)

 

 

(54,562

)

 

 

5YR RTP SWAPTION BRSGWWZP6

 

DEC13 1.18 PUT

 

19,100,000

 

 

 

210,100

 

 

 

5YR RTR SWAPTION BRSDVR933

 

JAN14 1.965 CALL

 

(9,400,000

)

 

 

(362,632

)

 

 

5YR RTR SWAPTION BRSERE9J0

 

MAY14 1.40 CALL

 

(9,200,000

)

 

 

(136,508

)

 

 

5YR RTR SWAPTION BRSEYU0P1

 

JUN14 1.25 CALL

 

(34,000,000

)

 

 

(354,494

)

 

 

5YR RTR SWAPTION BRSF1ND19

 

JUN14 1.20 CALL

 

(9,800,000

)

 

 

(90,000

)

 

 

5YR RTR SWAPTION BRSGWX2W5

 

DEC13 1.18 CALL

 

19,100,000

 

 

 

210,100

 

 

 

5YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

67,100,000

 

 

 

(10,063

)

 

 

ABBVIE INC COMPANY GUAR 144A

 

1.75% 06 Nov 2017

 

3,180,000

 

 

 

3,214,589

 

 

 

ABBVIE INC SR UNSECURED 144A

 

2.9% 06 Nov 2022

 

1,415,000

 

 

 

1,441,008

 

 

 

ABBVIE INC SR UNSECURED 144A

 

4.4% 06 Nov 2042

 

755,000

 

 

 

802,666

 

 

 

AMER AIRLN PT TRS 11 2 PASS THRU CE

 

0% 15 Oct 2021

 

2,810,993

 

 

 

2,916,406

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

3.8% 22 Mar 2017

 

2,345,000

 

 

 

2,538,073

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

4.875% 01 Jun 2022

 

2,175,000

 

 

 

2,483,026

 

 

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 2 A2

 

0.76% 08 Oct 2015

 

4,992,092

 

 

 

5,000,354

 

 

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 2 B

 

1.78% 08 Mar 2017

 

2,500,000

 

 

 

2,538,918

 

 

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 2 C

 

2.64% 08 Feb 2016

 

3,100,000

 

 

 

3,185,173

 

 

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 3 C

 

2.42% 08 May 2018

 

4,385,000

 

 

 

4,548,688

 

 

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 5 A2

 

0.68% 08 Jan 2016

 

5,105,000

 

 

 

5,104,786

 

 

 

AMGEN INC SR UNSECURED

 

3.625% 15 May 2022

 

1,490,000

 

 

 

1,601,223

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

7.625% 15 Mar 2014

 

4,475,000

 

 

 

4,810,186

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

5.75% 15 Jun 2014

 

600,000

 

 

 

638,395

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

5.95% 15 Sep 2016

 

2,324,000

 

 

 

2,675,228

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

6.375% 15 Sep 2017

 

1,967,000

 

 

 

2,349,572

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

2.5% 15 Jul 2022

 

2,180,000

 

 

 

2,193,647

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

3.75% 15 Jul 2042

 

1,510,000

 

 

 

1,516,981

 

 

 

AUSTRALIAN DOLLAR

 

 

 

1,206,502

 

 

 

1,252,589

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2007 2 AM

 

5.812573% 10 Apr 2049

 

2,612,600

 

 

 

2,972,878

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

5.7% 24 Jan 2022

 

1,880,000

 

 

 

2,260,792

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

5.65% 01 May 2018

 

2,595,000

 

 

 

3,019,135

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

3.75% 12 Jul 2016

 

3,810,000

 

 

 

4,072,612

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

6.5% 01 Aug 2016

 

970,000

 

 

 

1,120,116

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

5.625% 14 Oct 2016

 

2,940,000

 

 

 

3,324,267

 

 

 

BAT INTL FINANCE PLC COMPANY GUAR 144A

 

3.25% 07 Jun 2022

 

1,560,000

 

 

 

1,626,050

 

 

 

BERKSHIRE HATHAWAY INC SR UNSECURED

 

2.2% 15 Aug 2016

 

995,000

 

 

 

1,038,170

 

 

 

BMW VEHICLE LEASE TRUST BMWLT 2012 1 A2

 

0.82% 20 Jun 2014

 

5,247,262

 

 

 

5,251,240

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

2.5% 06 Nov 2022

 

2,125,000

 

 

 

2,105,520

 

 

 

BROCADE COMMUNICATIONS SR SECURED

 

6.625% 15 Jan 2018

 

2,871,000

 

 

 

2,964,308

 

 

 

BRS9AXET9 10 YR RTP SWAPTION

 

JAN15 5.39 PUT

 

(31,500,000

)

 

 

(83,725

)

 

 

BRS9AXF76 10 YR RTR SWAPTION

 

JAN15 5.39 CALL

 

(31,500,000

)

 

 

(8,383,004

)

 

 

BRSAB76J3 10 YR RTR SWAPTION

 

JUL15 4.3925 CALL

 

21,600,000

 

 

 

3,621,635

 

 

 

BRSAB76V6 10 YR RTP SWAPTION

 

JUL15 4.3925 PUT

 

21,600,000

 

 

 

227,224

 

 

 

BRSBJUP51 10YR RTR SWAPTION

 

FEB14 5.08 CALL

 

(16,100,000

)

 

 

(4,315,249

)

 

 

BRSBJUPP7 10YR RTP SWAPTION

 

FEB14 5.08 PUT

 

(16,100,000

)

 

 

(8,794

)

 

 

BRSDR3PA7 IRS USD P F 2 VANILLA

 

2.68375% 11 Jan 2042

 

(6,800,000

)

 

 

(6,781,231

)

 

 

BRSDR3PA7 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 11 Jan 2042

 

6,800,000

 

 

 

6,805,729

 

 

 

BRSEM8RG4 IRS USD P V 03MLIBOR 1 VANILLA

 

1% 27 Apr 2022

 

(11,500,000

)

 

 

(11,507,413

)

 

 

BRSEM8RG4 IRS USD R F 2 VANILLA

 

2.119% 27 Apr 2022

 

11,500,000

 

 

 

11,966,055

 

 

 

BRSENC7H4 IRS USD P V 03MLIBOR 1 VANILLA

 

1% 02 May 2022

 

(14,000,000

)

 

 

(14,008,920

)

 

124



Table of Contents

 

 

 

BRSENC7H4 IRS USD R F 2 VANILLA

 

2.046% 02 May 2022

 

14,000,000

 

 

 

14,470,990

 

 

 

BRSEQB0X5 IRS USD P V 03MLIBOR 1 VANILLA

 

1% 04 May 2022

 

(700,000

)

 

 

(700,437

)

 

 

BRSEQB0X5 IRS USD R F 2 VANILLA

 

2.0475% 04 May 2022

 

700,000

 

 

 

723,483

 

 

 

BRSF5S8R3 IRS USD P F 2 VANILLA

 

2.48142% 05 Jul 2042

 

(7,200,000

)

 

 

(3,832,361

)

 

 

BRSF5S8R3 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 05 Jul 2042

 

7,200,000

 

 

 

4,175,846

 

 

 

BRSFADY18 IRS USD P F 2 VANILLA

 

2.313% 24 Jul 2042

 

(400,000

)

 

 

(366,276

)

 

 

BRSFADY18 IRS USD R V 03MLIBOR 1 VANILLA

 

0.4521% 24 Jul 2042

 

400,000

 

 

 

400,274

 

 

 

BRSFB2YA1 IRS USD P F 2 VANILLA

 

2.315% 26 Jul 2042

 

(6,600,000

)

 

 

(6,045,265

)

 

 

BRSFB2YA1 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 26 Jul 2042

 

6,600,000

 

 

 

6,604,432

 

 

 

BRSFL6SW0 IRS USD P F 2 VANILLA

 

0.445% 31 Aug 2014

 

(8,500,000

)

 

 

(8,511,050

)

 

 

BRSFL6SW0 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 31 Aug 2014

 

8,500,000

 

 

 

8,500,000

 

 

 

BRSFLXD31 IRS USD P F 2 VANILLA

 

0.4125% 04 Sep 2014

 

(35,000,000

)

 

 

(35,024,500

)

 

 

BRSFLXD31 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 04 Sep 2014

 

35,000,000

 

 

 

35,000,000

 

 

 

BRSFPU292 IRS USD P V 03MLIBOR 1 VANILLA

 

1% 14 Sep 2022

 

(1,200,000

)

 

 

(1,200,000

)

 

 

BRSFPU292 IRS USD R F 2 VANILLA

 

1.84% 14 Sep 2022

 

1,200,000

 

 

 

1,217,400

 

 

 

BRSFPUDU3 IRS USD P V 03MLIBOR 1 VANILLA

 

1% 14 Sep 2022

 

(4,800,000

)

 

 

(4,800,000

)

 

 

BRSFPUDU3 IRS USD R F 2 VANILLA

 

1.8438% 14 Sep 2022

 

4,800,000

 

 

 

4,871,040

 

 

 

BRSFTNMJ0 IRS USD P F 2 VANILLA

 

0

 

(42,100,000

)

 

 

(42,116,840

)

 

 

BRSFTNMJ0 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 25 Sep 2014

 

42,100,000

 

 

 

42,100,000

 

 

 

BRSFUK3X4 IRS USD P F 2 VANILLA

 

0.8% 27 Sep 2017

 

(3,900,000

)

 

 

(3,907,020

)

 

 

BRSFUK3X4 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 27 Sep 2017

 

3,900,000

 

 

 

3,900,000

 

 

 

BRSFZDWG0 IRS USD P V 03MLIBOR 1 VANILLA

 

1% 15 Oct 2022

 

(5,000,000

)

 

 

(5,000,000

)

 

 

BRSFZDWG0 IRS USD R F 2 VANILLA

 

1.735% 15 Oct 2022

 

5,000,000

 

 

 

5,000,000

 

 

 

BRSG5CAK8 IRS USD P V 03MLIBOR 1 VANILLA

 

1% 05 Nov 2022

 

(8,300,000

)

 

 

(8,300,000

)

 

 

BRSG5CAK8 IRS USD R F2 VANILLA

 

1.76375% 05 Nov 2022

 

8,300,000

 

 

 

8,300,000

 

 

 

BRSG8EUJ2 IRS USD P F 2 VANILLA

 

0.37625% 15 Nov 2014

 

(42,400,000

)

 

 

(42,400,000

)

 

 

BRSG8EUJ2 IRS USD R V 03MLIBOR 1 VANILLA

 

1% 15 Nov 2014

 

42,400,000

 

 

 

42,400,000

 

 

 

CAIXA ECONOMICA FEDERAL SR UNSECURED 144A

 

2.375% 06 Nov 2017

 

2,125,000

 

 

 

2,109,063

 

 

 

CAMERON INTL CORP SR UNSECURED

 

7% 15 Jul 2038

 

1,500,000

 

 

 

2,030,840

 

 

 

CANADIAN DOLLAR

 

 

 

1

 

 

 

1

 

 

 

CAPITAL ONE FINANCIAL CO SR UNSECURED

 

4.75% 15 Jul 2021

 

3,900,000

 

 

 

4,497,332

 

 

 

CAPITAL ONE FINANCIAL CO SR UNSECURED

 

6.75% 15 Sep 2017

 

975,000

 

 

 

1,190,747

 

 

 

CAPITAL ONE MULTI ASSET ASSET BACKED

 

6.625% 17 Jun 2014

 

1,150,000

 

 

 

1,934,347

 

 

 

CARMAX AUTO OWNER TRUST CARMX 2012 3 A2

 

0.43% 15 Sep 2015

 

5,490,000

 

 

 

5,492,273

 

 

 

CITIGROUP INC SR UNSECURED

 

6.125% 15 May 2018

 

1,685,000

 

 

 

2,019,323

 

 

 

CITIGROUP INC SR UNSECURED

 

4.587% 15 Dec 2015

 

5,075,000

 

 

 

5,540,631

 

 

 

CNH EQUIPMENT TRUST CNH 2012 A A2

 

0.483% 15 Jul 2015

 

5,569,525

 

 

 

5,577,266

 

 

 

COCA COLA FEMSA SAB CV SR UNSECURED

 

4.625% 15 Feb 2020

 

1,909,000

 

 

 

2,152,550

 

 

 

COMCAST CORP COMPANY GUAR

 

7.05% 15 Mar 2033

 

340,000

 

 

 

452,908

 

 

 

COMCAST CORP COMPANY GUAR

 

5.65% 15 Jun 2035

 

1,475,000

 

 

 

1,730,668

 

 

 

COMCAST CORP COMPANY GUAR

 

6.5% 15 Nov 2035

 

495,000

 

 

 

635,109

 

 

 

COMM MORTGAGE TRUST COMM 2012 LTRT A2 144A

 

3.399% 05 Oct 2030

 

1,440,000

 

 

 

1,507,807

 

 

 

COMM MORTGAGE TRUST COMM 2012 LTRT B 144A

 

3.8% 07 Oct 2030

 

2,540,000

 

 

 

2,613,757

 

 

 

CONSOLIDATED NATURAL GAS SR UNSECURED

 

5% 01 Mar 2014

 

550,000

 

 

 

576,960

 

 

 

CONSTELLATION ENERGY GRO COMPANY GUAR

 

5.15% 01 Dec 2020

 

1,588,000

 

 

 

1,815,275

 

 

 

COX COMMUNICATIONS INC SR UNSECURED 144A

 

8.375% 01 Mar 2039

 

1,075,000

 

 

 

1,649,747

 

 

 

CREDIT SUISSE NEW YORK SR UNSECURED

 

5.5% 01 May 2014

 

5,270,000

 

 

 

5,607,243

 

 

 

CREDIT SUISSE NEW YORK SUBORDINATED

 

5.4% 14 Jan 2020

 

1,930,000

 

 

 

2,170,073

 

 

 

CROWN CASTLE TOWERS LLC SR SECURED 144A

 

6.113% 15 Jan 2040

 

6,370,000

 

 

 

7,672,557

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

(54,767

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

(47,928

)

 

 

DBRR TRUST DBRR 2012 EZ1 A 144A

 

0.946% 25 Sep 2045

 

7,802,388

 

 

 

7,800,156

 

 

 

DBUBS MORTGAGE TRUST DBUBS 2011 LC1A A1 144A

 

3.742% 10 Nov 2046

 

4,453,473

 

 

 

4,816,921

 

 

 

DEERE + COMPANY SR UNSECURED

 

3.9% 09 Jun 2042

 

1,120,000

 

 

 

1,144,694

 

 

 

DIRECTV HOLDINGS/FING COMPANY GUAR

 

3.5% 01 Mar 2016

 

7,350,000

 

 

 

7,786,634

 

 

 

DISCOVER BANK SUBORDINATED

 

8.7% 18 Nov 2019

 

771,000

 

 

 

1,003,288

 

 

 

DISCOVER FINANCIAL SVS SR UNSECURED 144A

 

3.85% 21 Nov 2022

 

2,479,000

 

 

 

2,558,016

 

 

 

DOMINION RESOURCES INC SR UNSECURED

 

4.9% 01 Aug 2041

 

2,025,000

 

 

 

2,268,980

 

 

 

DUKE ENERGY CORP SR UNSECURED

 

3.95% 15 Sep 2014

 

7,200,000

 

 

 

7,581,996

 

 

 

EATON CORP COMPANY GUAR 144A

 

2.75% 02 Nov 2022

 

1,590,000

 

 

 

1,585,093

 

 

 

EATON CORP COMPANY GUAR 144A

 

4.15% 02 Nov 2042

 

705,000

 

 

 

712,969

 

 

 

EKSPORTFINANS ASA SR UNSECURED

 

5.5% 26 Jun 2017

 

4,150,000

 

 

 

4,367,572

 

 

 

EKSPORTFINANS ASA SR UNSECURED

 

3% 17 Nov 2014

 

4,195,000

 

 

 

4,161,713

 

 

 

EL PASO PIPELINE PART OP COMPANY GUAR

 

6.5% 01 Apr 2020

 

742,000

 

 

 

904,742

 

 

 

EL PASO PIPELINE PART OP COMPANY GUAR

 

4.1% 15 Nov 2015

 

2,325,000

 

 

 

2,493,895

 

 

 

ENERGY TRANSFER PARTNERS SR UNSECURED

 

5.2% 01 Feb 2022

 

275,000

 

 

 

313,696

 

 

 

ENERGY TRANSFER PARTNERS SR UNSECURED

 

6.5% 01 Feb 2042

 

2,503,000

 

 

 

3,064,516

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

6.5% 31 Jan 2019

 

675,000

 

 

 

845,913

 

 

 

EUR PUT/USD CALL BRSG5EN20

 

FEB13 1.2955 PUT

 

7,035,000

 

 

 

30,607

 

 

 

EURO CURRENCY

 

 

 

493,038

 

 

 

650,022

 

 

 

EXELON GENERATION CO LLC SR UNSECURED 144A

 

4.25% 15 Jun 2022

 

2,126,000

 

 

 

2,210,579

 

 

 

FANNIE MAE FNR 2004 88 HA

 

6.5% 25 Jul 2034

 

117,509

 

 

 

125,162

 

 

 

FANNIE MAE FNR 2011 52 GB

 

5% 25 Jun 2041

 

3,865,000

 

 

 

4,341,342

 

 

 

FANNIE MAE FNR 2011 99 DB

 

5% 25 Oct 2041

 

5,445,000

 

 

 

6,152,708

 

 

 

FANNIE MAE FNR 2012 35 MA

 

5.5% 25 Aug 2029

 

1,311,351

 

 

 

1,312,831

 

 

 

FANNIE MAE FNR 2012 69 PL

 

3% 25 Jan 2042

 

3,174,180

 

 

 

3,355,553

 

 

 

FANNIE MAE NOTES

 

2.7% 28 Mar 2022

 

5,175,000

 

 

 

5,200,083

 

 

 

FANNIE MAE NOTES

 

6.25% 15 May 2029

 

5,760,000

 

 

 

8,274,764

 

 

 

FANNIE MAE NOTES

 

0.6% 24 Jul 2015

 

10,225,000

 

 

 

10,227,536

 

 

 

FANNIE MAE SUB DEBENTUR

 

0% 09 Oct 2019

 

7,280,000

 

 

 

6,377,695

 

 

125



Table of Contents

 

 

 

FED HM LN PC POOL 1B8062

 

3.129% 01 Mar 2041

 

850,633

 

 

 

895,735

 

 

 

FED HM LN PC POOL 2B0646

 

2.051% 01 Jul 2042

 

1,552,135

 

 

 

1,605,601

 

 

 

FED HM LN PC POOL A32162

 

5% 01 Mar 2035

 

346,290

 

 

 

389,943

 

 

 

FED HM LN PC POOL A97620

 

4.5% 01 Mar 2041

 

19,129,894

 

 

 

20,641,718

 

 

 

FED HM LN PC POOL C00748

 

6% 01 Apr 2029

 

1,520

 

 

 

1,691

 

 

 

FED HM LN PC POOL E00543

 

6% 01 Apr 2013

 

98

 

 

 

102

 

 

 

FED HM LN PC POOL E00565

 

6% 01 Aug 2013

 

391

 

 

 

396

 

 

 

FED HM LN PC POOL E00570

 

6% 01 Sep 2013

 

441

 

 

 

465

 

 

 

FED HM LN PC POOL E00975

 

6% 01 May 2016

 

9,211

 

 

 

9,864

 

 

 

FED HM LN PC POOL E01157

 

6% 01 Jun 2017

 

1,053

 

 

 

1,143

 

 

 

FED HM LN PC POOL E69529

 

6% 01 Mar 2013

 

78

 

 

 

79

 

 

 

FED HM LN PC POOL E69728

 

6% 01 Apr 2013

 

97

 

 

 

98

 

 

 

FED HM LN PC POOL E75506

 

6% 01 Mar 2014

 

363

 

 

 

367

 

 

 

FED HM LN PC POOL E75722

 

6% 01 Mar 2014

 

288

 

 

 

298

 

 

 

FED HM LN PC POOL E77295

 

6% 01 Jun 2014

 

22,855

 

 

 

23,586

 

 

 

FED HM LN PC POOL E84261

 

6% 01 Jul 2016

 

36,368

 

 

 

38,838

 

 

 

FED HM LN PC POOL E84593

 

6% 01 Jul 2016

 

4,214

 

 

 

4,500

 

 

 

FED HM LN PC POOL E87958

 

6% 01 Feb 2017

 

2,073

 

 

 

2,183

 

 

 

FED HM LN PC POOL E88282

 

6% 01 Mar 2017

 

1,052

 

 

 

1,123

 

 

 

FED HM LN PC POOL E88512

 

6% 01 Mar 2017

 

1,827

 

 

 

1,951

 

 

 

FED HM LN PC POOL E88786

 

6% 01 Mar 2017

 

8,590

 

 

 

9,345

 

 

 

FED HM LN PC POOL E88982

 

6% 01 Apr 2017

 

8,251

 

 

 

8,930

 

 

 

FED HM LN PC POOL E89201

 

6% 01 Apr 2017

 

4,643

 

 

 

5,051

 

 

 

FED HM LN PC POOL E89245

 

6% 01 Apr 2017

 

52,808

 

 

 

57,152

 

 

 

FED HM LN PC POOL E89336

 

6% 01 May 2017

 

5,184

 

 

 

5,610

 

 

 

FED HM LN PC POOL E89350

 

6% 01 Apr 2017

 

19,591

 

 

 

21,202

 

 

 

FED HM LN PC POOL E89435

 

6% 01 May 2017

 

5,159

 

 

 

5,583

 

 

 

FED HM LN PC POOL E89704

 

6% 01 May 2017

 

7,381

 

 

 

7,988

 

 

 

FED HM LN PC POOL E90431

 

6% 01 Dec 2014

 

631

 

 

 

651

 

 

 

FED HM LN PC POOL E91323

 

6% 01 Sep 2017

 

12,525

 

 

 

13,556

 

 

 

FED HM LN PC POOL G01838

 

5% 01 Jul 2035

 

4,804,864

 

 

 

5,194,350

 

 

 

FED HM LN PC POOL G01840

 

5% 01 Jul 2035

 

3,479,671

 

 

 

3,761,735

 

 

 

FED HM LN PC POOL G04913

 

5% 01 Mar 2038

 

5,616,142

 

 

 

6,048,574

 

 

 

FED HM LN PC POOL G05132

 

5% 01 Dec 2038

 

1,857,972

 

 

 

1,999,291

 

 

 

FED HM LN PC POOL G05205

 

5% 01 Jan 2039

 

1,407,234

 

 

 

1,514,269

 

 

 

FED HM LN PC POOL G06385

 

5.5% 01 Aug 2040

 

2,221,640

 

 

 

2,399,992

 

 

 

FED HM LN PC POOL G06817

 

5.5% 01 May 2040

 

6,850,288

 

 

 

7,400,225

 

 

 

FED HM LN PC POOL J00625

 

5% 01 Dec 2020

 

38,902

 

 

 

41,896

 

 

 

FED HM LN PC POOL J12438

 

4.5% 01 Jun 2025

 

2,216,263

 

 

 

2,385,819

 

 

 

FED HM LN PC POOL Q02663

 

4.5% 01 Aug 2041

 

8,878,972

 

 

 

9,722,180

 

 

 

FED HM LN PC POOL Q02776

 

4.5% 01 Aug 2041

 

1,572,354

 

 

 

1,721,676

 

 

 

FED HM LN PC POOL Q10325

 

3.5% 01 Aug 2042

 

5,719,066

 

 

 

6,114,052

 

 

 

FED HM LN PC POOL Q13216

 

3.5% 01 Nov 2042

 

5,191,393

 

 

 

5,536,146

 

 

 

FEDERAL HOME LOAN BK IL SUB NOTES

 

5.625% 13 Jun 2016

 

985,000

 

 

 

1,141,930

 

 

 

FHLMC TBA JAN 15 GOLD SINGLE

 

4.5% 01 Dec 2099

 

(200,000

)

 

 

(212,672

)

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

4.5% 01 Dec 2099

 

(13,100,000

)

 

 

(14,055,891

)

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

5% 01 Dec 2099

 

(4,400,000

)

 

 

(4,734,125

)

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

5.5% 01 Dec 2099

 

400,000

 

 

 

431,688

 

 

 

FHLMC GOLD TBA 30 YR

 

4% 01 Dec 2099

 

14,100,000

 

 

 

15,051,750

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K501 X1A

 

1.7548% 25 Aug 2016

 

4,725,064

 

 

 

221,204

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K708 X1

 

1.5121% 25 Jan 2019

 

30,012,693

 

 

 

2,362,719

 

 

 

FLORIDA POWER + LIGHT 1ST MORTGAGE

 

5.95% 01 Feb 2038

 

1,650,000

 

 

 

2,196,338

 

 

 

FLORIDA POWER + LIGHT 1ST MORTGAGE

 

5.625% 01 Apr 2034

 

400,000

 

 

 

500,752

 

 

 

FLORIDA POWER CORP 1ST MORTGAGE

 

5.9% 01 Mar 2033

 

525,000

 

 

 

647,666

 

 

 

FLORIDA POWER CORP 1ST MORTGAGE

 

6.4% 15 Jun 2038

 

1,125,000

 

 

 

1,515,264

 

 

 

FMS WERTMANAGEMENT GOVT GUARANT

 

1% 21 Nov 2017

 

4,070,000

 

 

 

4,064,709

 

 

 

FNMA TBA FEB 30 SINGLE FAM

 

5% 01 Dec 2099

 

(5,500,000

)

 

 

(5,958,047

)

 

 

FNMA TBA JAN 15 SINGLE FAM

 

4.5% 01 Dec 2099

 

(200,000

)

 

 

(215,125

)

 

 

FNMA TBA JAN 15 SINGLE FAM

 

5.5% 01 Dec 2099

 

2,300,000

 

 

 

2,468,008

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

4.5% 01 Dec 2099

 

(17,200,000

)

 

 

(18,579,359

)

 

 

FNMA TBA FEB 30 SINGLE FAM

 

5.5% 01 Dec 2099

 

11,700,000

 

 

 

12,716,437

 

 

 

FNMA CONV 15YR TBA

 

2.5% 01 Dec 2099

 

9,900,000

 

 

 

10,351,688

 

 

 

FNMA POOL 253800

 

7% 01 May 2016

 

2,441

 

 

 

2,616

 

 

 

FNMA POOL 254693

 

5.5% 01 Apr 2033

 

1,068,772

 

 

 

1,174,611

 

 

 

FNMA POOL 305049

 

9.5% 01 Feb 2025

 

5,111

 

 

 

5,132

 

 

 

FNMA POOL 305113

 

9.5% 01 Mar 2025

 

647

 

 

 

649

 

 

 

FNMA POOL 306419

 

9.5% 01 Mar 2025

 

21,385

 

 

 

22,211

 

 

 

FNMA POOL 306656

 

9.5% 01 Mar 2025

 

5,051

 

 

 

5,124

 

 

 

FNMA POOL 316338

 

9.5% 01 Jul 2025

 

2,495

 

 

 

2,505

 

 

 

FNMA POOL 324556

 

9.5% 01 Aug 2025

 

950

 

 

 

954

 

 

 

FNMA POOL 532892

 

7% 01 Apr 2015

 

1,215

 

 

 

1,282

 

 

 

FNMA POOL 535675

 

7% 01 Jan 2016

 

21,654

 

 

 

22,863

 

 

 

FNMA POOL 555299

 

7% 01 Nov 2017

 

23,565

 

 

 

24,881

 

 

 

FNMA POOL 555424

 

5.5% 01 May 2033

 

3,400,560

 

 

 

3,737,315

 

 

 

FNMA POOL 572156

 

7% 01 Jan 2016

 

11,933

 

 

 

12,600

 

 

 

FNMA POOL 572557

 

7% 01 Apr 2016

 

672

 

 

 

720

 

 

 

FNMA POOL 584882

 

7% 01 May 2016

 

40,903

 

 

 

43,829

 

 

 

FNMA POOL 604436

 

7% 01 Sep 2016

 

33,156

 

 

 

35,008

 

 

 

FNMA POOL 677377

 

5.5% 01 Jan 2033

 

5,803,285

 

 

 

6,377,980

 

 

 

FNMA POOL 725206

 

5.5% 01 Feb 2034

 

1,799,903

 

 

 

1,978,147

 

 

126



Table of Contents

 

 

 

FNMA POOL 725424

 

5.5% 01 Apr 2034

 

31,038

 

 

 

34,111

 

 

 

FNMA POOL 725946

 

5.5% 01 Nov 2034

 

859,739

 

 

 

940,579

 

 

 

FNMA POOL 735288

 

5% 01 Mar 2035

 

13,878,145

 

 

 

15,134,951

 

 

 

FNMA POOL 735893

 

5% 01 Oct 2035

 

726,498

 

 

 

790,706

 

 

 

FNMA POOL 735989

 

5.5% 01 Feb 2035

 

2,587,937

 

 

 

2,844,219

 

 

 

FNMA POOL 819967

 

5.5% 01 Apr 2035

 

562,178

 

 

 

638,932

 

 

 

FNMA POOL 889466

 

6% 01 May 2038

 

1,316,496

 

 

 

1,466,903

 

 

 

FNMA POOL 889529

 

6% 01 Mar 2038

 

453,448

 

 

 

506,359

 

 

 

FNMA POOL 995113

 

5.5% 01 Sep 2036

 

91,959

 

 

 

101,066

 

 

 

FNMA POOL 995203

 

5% 01 Jul 2035

 

3,945,580

 

 

 

4,306,798

 

 

 

FNMA POOL AB5423

 

3.5% 01 Jun 2042

 

664,019

 

 

 

713,899

 

 

 

FNMA POOL AB6861

 

3% 01 Nov 2032

 

1,993,497

 

 

 

2,098,250

 

 

 

FNMA POOL AB6956

 

3% 01 Nov 2032

 

1,793,987

 

 

 

1,888,256

 

 

 

FNMA POOL AB7136

 

3% 01 Dec 2032

 

1,296,224

 

 

 

1,364,337

 

 

 

FNMA POOL AB7343

 

3% 01 Dec 2032

 

1,495,629

 

 

 

1,574,221

 

 

 

FNMA POOL AB7347

 

3% 01 Dec 2032

 

697,966

 

 

 

734,642

 

 

 

FNMA POOL AB7443

 

3% 01 Dec 2032

 

1,700,000

 

 

 

1,789,331

 

 

 

FNMA POOL AD6391

 

4.5% 01 May 2025

 

3,238,951

 

 

 

3,536,597

 

 

 

FNMA POOL AE0028

 

6% 01 Oct 2039

 

6,174,104

 

 

 

6,759,474

 

 

 

FNMA POOL AE0949

 

4% 01 Feb 2041

 

6,005,205

 

 

 

6,443,937

 

 

 

FNMA POOL AE6121

 

4% 01 Oct 2040

 

4,359,075

 

 

 

4,677,543

 

 

 

FNMA POOL AH2190

 

3.5% 01 Jan 2026

 

1,306,536

 

 

 

1,386,792

 

 

 

FNMA POOL AH2380

 

4% 01 Jan 2041

 

6,341,040

 

 

 

6,804,308

 

 

 

FNMA POOL AH3394

 

4% 01 Jan 2041

 

3,313,939

 

 

 

3,556,051

 

 

 

FNMA POOL AH6958

 

2.975% 01 Feb 2041

 

1,216,428

 

 

 

1,276,559

 

 

 

FNMA POOL AJ6935

 

3.5% 01 Nov 2026

 

2,608,102

 

 

 

2,768,310

 

 

 

FNMA POOL AL0533

 

3.234% 01 Jul 2041

 

3,487,972

 

 

 

3,674,177

 

 

 

FNMA POOL AL0851

 

6% 01 Oct 2040

 

5,817,707

 

 

 

6,369,287

 

 

 

FNMA POOL AL1704

 

6.5% 01 May 2040

 

5,075,842

 

 

 

5,698,783

 

 

 

FNMA POOL AL1711

 

4.5% 01 Aug 2041

 

26,043,965

 

 

 

28,842,444

 

 

 

FNMA POOL AL1938

 

4% 01 Dec 2026

 

3,352,339

 

 

 

3,590,739

 

 

 

FNMA POOL AL2302

 

4.5% 01 Aug 2041

 

14,332,407

 

 

 

15,791,655

 

 

 

FNMA POOL AL2682

 

4% 01 May 2041

 

8,767,552

 

 

 

9,408,098

 

 

 

FNMA POOL AL2683

 

4% 01 Sep 2026

 

3,523,033

 

 

 

3,773,572

 

 

 

FNMA POOL AL2781

 

3.5% 01 Dec 2042

 

8,161,426

 

 

 

8,726,050

 

 

 

FNMA POOL AO2986

 

4% 01 May 2042

 

11,533,197

 

 

 

12,516,358

 

 

 

FNMA POOL AO3369

 

3.5% 01 May 2042

 

1,608,363

 

 

 

1,719,633

 

 

 

FNMA POOL AO4144

 

4% 01 Jun 2042

 

12,143,674

 

 

 

13,178,876

 

 

 

FNMA POOL AO5941

 

3.5% 01 Jun 2042

 

395,741

 

 

 

425,469

 

 

 

FNMA POOL AO6482

 

2.324% 01 Jul 2042

 

651,606

 

 

 

678,799

 

 

 

FNMA POOL AO8011

 

3.5% 01 Jul 2042

 

396,850

 

 

 

428,150

 

 

 

FNMA POOL AO8632

 

3.5% 01 Jul 2042

 

688,177

 

 

 

739,872

 

 

 

FNMA POOL AO9368

 

3.5% 01 Jul 2042

 

1,177,262

 

 

 

1,265,697

 

 

 

FNMA POOL AP0006

 

2.025% 01 Jul 2042

 

1,695,515

 

 

 

1,753,586

 

 

 

FNMA POOL AP9736

 

3.5% 01 Oct 2042

 

9,095,042

 

 

 

9,724,255

 

 

 

FNMA POOL AQ6099

 

3% 01 Nov 2032

 

398,822

 

 

 

419,779

 

 

 

FNMA POOL MA1237

 

3% 01 Nov 2032

 

2,580,618

 

 

 

2,716,223

 

 

 

FNMA POOL MA1275

 

3% 01 Dec 2032

 

5,283,033

 

 

 

5,560,643

 

 

 

FNMA TBA 15 YR

 

3% 01 Dec 2099

 

14,200,000

 

 

 

14,987,657

 

 

 

FNMA TBA 15 YR

 

3.5% 01 Dec 2099

 

7,600,000

 

 

 

8,061,937

 

 

 

FNMA TBA 30YR SINGLE FAMILY JA

 

3.5% 01 Dec 2099

 

8,100,000

 

 

 

8,635,676

 

 

 

FNMA TBA 3PCT JAN 30 SINGLE FA

 

3% 01 Dec 2099

 

(9,500,000

)

 

 

(9,655,000

)

 

 

FNMA TBA 3PCT JAN 30 SINGLE FA

 

3% 01 Dec 2099

 

6,300,000

 

 

 

6,300,000

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

6% 01 Dec 2099

 

8,700,000

 

 

 

9,502,031

 

 

 

FNMA TBA SINGLE FAMILY JAN 15

 

4% 01 Dec 2099

 

5,800,000

 

 

 

6,210,531

 

 

 

FNMA TBA SINGLE FAMILY MORTGAG

 

4% 01 Dec 2099

 

12,300,000

 

 

 

13,184,063

 

 

 

FORD CREDIT AUTO LEASE TRUST FORDL 2012 A A2

 

0.63% 15 Apr 2014

 

6,345,310

 

 

 

6,349,790

 

 

 

FORD CREDIT FLOORPLAN MASTER O FORDF 2011 2 D

 

2.86% 15 Sep 2015

 

3,940,000

 

 

 

3,948,447

 

 

 

FORD CREDIT FLOORPLAN MASTER O FORDF 2012 2 A

 

1.92% 15 Jan 2019

 

8,155,000

 

 

 

8,373,505

 

 

 

FORD CREDIT FLOORPLAN MASTER O FORDF 2012 4 B

 

0.94% 15 Sep 2016

 

4,235,000

 

 

 

4,237,283

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

8.125% 15 Jan 2020

 

5,400,000

 

 

 

6,919,436

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

6.625% 15 Aug 2017

 

420,000

 

 

 

490,756

 

 

 

FREDDIE MAC FHR 2864 NA

 

5.5% 15 Jan 2031

 

274,982

 

 

 

279,432

 

 

 

FREDDIE MAC NOTES

 

0.6% 22 May 2015

 

4,065,000

 

 

 

4,071,126

 

 

 

FREDDIE MAC NOTES

 

0.5% 27 Nov 2015

 

9,145,000

 

 

 

9,156,495

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

2.375% 30 Jun 2015

 

5,170,000

 

 

 

5,340,491

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

6.15% 07 Aug 2037

 

180,000

 

 

 

223,775

 

 

 

GENERAL ELECTRIC CO SR UNSECURED

 

2.7% 09 Oct 2022

 

1,740,000

 

 

 

1,773,594

 

 

 

GLAXOSMITHKLINE CAPITAL COMPANY GUAR

 

2.85% 08 May 2022

 

610,000

 

 

 

633,578

 

 

 

GLENCORE FUNDING LLC COMPANY GUAR 144A

 

6% 15 Apr 2014

 

2,385,000

 

 

 

2,518,930

 

 

 

GMAC COMMERCIAL MORTGAGE SECUR GMACC 2003 C2 A2

 

5.48326% 10 May 2040

 

4,878,836

 

 

 

4,950,174

 

 

 

GNMA I TBA JAN 30 SINGLE FAM

 

4.5% 15 Dec 2099

 

1,600,000

 

 

 

1,751,750

 

 

 

GNMA I TBA JAN 30 SINGLE FAM

 

5% 15 Dec 2099

 

(300,000

)

 

 

(327,234

)

 

 

GNMA II JUMBOS 30 YRS

 

3.5% 01 Dec 2099

 

(14,000,000

)

 

 

(15,210,782

)

 

 

GNMA II POOL 004223

 

6.5% 20 Aug 2038

 

1,003,578

 

 

 

1,139,389

 

 

 

GNMA II POOL 004292

 

6.5% 20 Nov 2038

 

571,266

 

 

 

648,573

 

 

 

GNMA II POOL 004559

 

5% 20 Oct 2039

 

3,497,699

 

 

 

3,875,932

 

 

 

GNMA II POOL 004745

 

4% 20 Jul 2040

 

458,773

 

 

 

501,555

 

 

 

GNMA II POOL 004838

 

6.5% 20 Oct 2040

 

1,034,694

 

 

 

1,184,416

 

 

 

GNMA II POOL 005018

 

5% 20 Apr 2041

 

230,633

 

 

 

254,860

 

 

127



Table of Contents

 

 

 

GNMA II POOL 005056

 

5% 20 May 2041

 

32,165

 

 

 

35,544

 

 

 

GNMA II POOL 005083

 

5% 20 Jun 2041

 

581,132

 

 

 

641,792

 

 

 

GNMA II POOL 005116

 

5% 20 Jul 2041

 

313,069

 

 

 

346,925

 

 

 

GNMA II POOL MA0221

 

4% 20 Jul 2042

 

10,254,526

 

 

 

11,172,336

 

 

 

GNMA II POOL MA0319

 

4% 20 Aug 2042

 

291,579

 

 

 

317,676

 

 

 

GNMA II POOL MA0462

 

3.5% 20 Oct 2042

 

9,152,433

 

 

 

9,956,716

 

 

 

GNMA II POOL MA0534

 

3.5% 20 Nov 2042

 

18,554,822

 

 

 

20,185,354

 

 

 

GNMA II TBA JAN 30 JUMBOS

 

4.5% 01 Dec 2099

 

19,500,000

 

 

 

21,349,454

 

 

 

GNMA POOL 351469

 

6% 15 Mar 2024

 

9,819

 

 

 

10,949

 

 

 

GNMA POOL 355176

 

6% 15 Dec 2023

 

135,020

 

 

 

150,180

 

 

 

GNMA POOL 371257

 

6% 15 Jan 2024

 

66,869

 

 

 

74,566

 

 

 

GNMA POOL 462265

 

6% 15 Dec 2028

 

5,053

 

 

 

5,726

 

 

 

GNMA POOL 491767

 

6% 15 Dec 2028

 

2,926

 

 

 

3,315

 

 

 

GNMA POOL 492131

 

6% 15 Jan 2029

 

4,896

 

 

 

5,539

 

 

 

GNMA POOL 492133

 

6% 15 Jan 2029

 

848

 

 

 

951

 

 

 

GNMA POOL 492165

 

6% 15 Feb 2029

 

2,328

 

 

 

2,612

 

 

 

GNMA POOL 615272

 

4.5% 15 Jul 2033

 

209,256

 

 

 

233,264

 

 

 

GNMA POOL 616411

 

4.5% 15 May 2034

 

255,432

 

 

 

282,024

 

 

 

GNMA POOL 646609

 

4.5% 15 Jul 2040

 

1,352,955

 

 

 

1,493,381

 

 

 

GNMA POOL 671489

 

6.5% 15 Aug 2037

 

66,242

 

 

 

76,522

 

 

 

GNMA POOL 685496

 

6.5% 15 Sep 2038

 

131,899

 

 

 

150,202

 

 

 

GNMA POOL 691303

 

6.5% 15 Aug 2038

 

57,242

 

 

 

65,185

 

 

 

GNMA POOL 691858

 

6.5% 15 Jul 2038

 

124,675

 

 

 

141,976

 

 

 

GNMA POOL 697656

 

6.5% 15 Oct 2038

 

448,332

 

 

 

510,546

 

 

 

GNMA POOL 701684

 

6.5% 15 Feb 2039

 

882,421

 

 

 

1,005,395

 

 

 

GNMA POOL 728627

 

4.5% 15 Jan 2040

 

566,262

 

 

 

622,959

 

 

 

GNMA POOL 732087

 

4.5% 15 May 2040

 

63,202

 

 

 

69,762

 

 

 

GNMA POOL 745793

 

4.5% 15 Jul 2040

 

1,917,605

 

 

 

2,116,639

 

 

 

GNMA POOL 780914

 

6% 15 Nov 2028

 

61,111

 

 

 

70,291

 

 

 

GNMA POOL 782557

 

5% 15 Jan 2039

 

7,289,832

 

 

 

7,993,520

 

 

 

GNMA POOL 782619

 

5% 15 Apr 2039

 

4,822,080

 

 

 

5,260,793

 

 

 

GNMA POOL 782695

 

6.5% 15 Jun 2039

 

553,361

 

 

 

636,207

 

 

 

GNMA POOL 782696

 

5% 15 Jun 2039

 

992,996

 

 

 

1,083,339

 

 

 

GNMA POOL 782958

 

5% 15 May 2040

 

2,168,660

 

 

 

2,372,742

 

 

 

GNMA POOL 783289

 

4.5% 15 Apr 2041

 

209,288

 

 

 

231,359

 

 

 

GNMA POOL 783571

 

0% 15 Dec 2033

 

1,454,456

 

 

 

1,601,327

 

 

 

GNMA POOL 783609

 

4.5% 15 Oct 2040

 

4,799,965

 

 

 

5,277,166

 

 

 

GNMA POOL 783610

 

4.5% 15 Nov 2041

 

3,460,846

 

 

 

3,803,653

 

 

 

GNR 2006 3 B FIXED

 

1% 16 Jan 2037

 

2,286,021

 

 

 

2,396,497

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.95% 18 Jan 2018

 

805,000

 

 

 

936,773

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.75% 24 Jan 2022

 

3,665,000

 

 

 

4,332,807

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.25% 15 Oct 2013

 

9,110,000

 

 

 

9,428,959

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2004 GG2 A6

 

5.396% 10 Aug 2038

 

8,520,000

 

 

 

9,002,905

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2007 GG10 AAB

 

5.807526% 10 Aug 2045

 

3,680,192

 

 

 

3,887,585

 

 

 

GTE CORP COMPANY GUAR

 

6.94% 15 Apr 2028

 

110,000

 

 

 

146,343

 

 

 

HCP INC SR UNSECURED

 

2.625% 01 Feb 2020

 

1,715,000

 

 

 

1,708,306

 

 

 

HSBC BANK PLC SR UNSECURED 144A

 

3.1% 24 May 2016

 

2,250,000

 

 

 

2,378,858

 

 

 

HSBC HOLDINGS PLC SR UNSECURED

 

6.1% 14 Jan 2042

 

1,290,000

 

 

 

1,716,431

 

 

 

ING BANK NV GOVT LIQUID 144A

 

3.9% 19 Mar 2014

 

2,870,000

 

 

 

2,983,655

 

 

 

INTERPUBLIC GROUP COS SR UNSECURED

 

6.25% 15 Nov 2014

 

2,147,000

 

 

 

2,324,128

 

 

 

INTL PAPER CO SR UNSECURED

 

4.75% 15 Feb 2022

 

2,875,000

 

 

 

3,253,166

 

 

 

JAPANESE YEN

 

 

 

553

 

 

 

6

 

 

 

JERSEY CENTRAL PWR + LT SR UNSECURED

 

5.625% 01 May 2016

 

1,825,000

 

 

 

2,070,603

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2004 CB8 A1A 144A

 

4.158% 12 Jan 2039

 

824,677

 

 

 

849,156

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2004 LN2 A2

 

5.115% 15 Jul 2041

 

4,395,000

 

 

 

4,640,096

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP9 A3

 

5.336% 15 May 2047

 

2,145,000

 

 

 

2,453,844

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 CB20 AM

 

6.085916% 12 Feb 2051

 

1,985,000

 

 

 

2,301,568

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

2% 15 Aug 2017

 

2,675,000

 

 

 

2,732,502

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

3.25% 23 Sep 2022

 

1,345,000

 

 

 

1,385,055

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

2.25% 05 Jun 2017

 

2,410,000

 

 

 

2,492,702

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

5% 04 Jun 2042

 

825,000

 

 

 

927,712

 

 

 

LEHMAN BROS CAP TR VII LIMITD GUARA 11/49 VAR

 

1% 31 Dec 2049

 

330,000

 

 

 

33

 

 

 

LEHMAN BROTHERS HOLDINGS SUBORDINATED

 

6.75% 28 Dec 2017

 

3,250,000

 

 

 

325

 

 

 

MACYS RETAIL HLDGS INC COMPANY GUAR

 

5.875% 15 Jan 2013

 

650,000

 

 

 

651,009

 

 

 

MANULIFE FINANCIAL CORP SR UNSECURED

 

3.4% 17 Sep 2015

 

4,575,000

 

 

 

4,810,667

 

 

 

MERCEDES BENZ AUTO LEASE TRUST MBALT 2012 A A2

 

0.66% 15 Apr 2014

 

4,325,950

 

 

 

4,329,965

 

 

 

MEXICAN PESO (NEW)

 

 

 

623

 

 

 

48

 

 

 

MIDAMERICAN ENERGY HLDGS SR UNSECURED

 

5.95% 15 May 2037

 

800,000

 

 

 

987,763

 

 

 

MIDAMERICAN ENERGY HLDGS SR UNSECURED

 

6.5% 15 Sep 2037

 

725,000

 

 

 

962,959

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 4 AM

 

1% 12 Dec 2049

 

2,910,000

 

 

 

3,217,244

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2007 8 A3

 

5.956801% 12 Aug 2049

 

7,485,000

 

 

 

8,663,581

 

 

 

MONDELEZ INTERNATIONAL SR UNSECURED

 

4.125% 09 Feb 2016

 

389,000

 

 

 

423,817

 

 

 

MONDELEZ INTERNATIONAL SR UNSECURED

 

6.125% 01 Feb 2018

 

1,808,000

 

 

 

2,199,922

 

 

 

MONDELEZ INTERNATIONAL SR UNSECURED

 

6.5% 11 Aug 2017

 

66,000

 

 

 

80,611

 

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2007 IQ15 A4

 

5.880716% 11 Jun 2049

 

4,715,000

 

 

 

5,543,110

 

 

 

MORGAN STANLEY SR UNSECURED

 

5.5% 28 Jul 2021

 

1,915,000

 

 

 

2,174,241

 

 

 

NBCUNIVERSAL MEDIA LLC SR UNSECURED

 

4.45% 15 Jan 2043

 

1,645,000

 

 

 

1,665,788

 

 

 

NBCUNIVERSAL MEDIA LLC SR UNSECURED

 

5.95% 01 Apr 2041

 

655,000

 

 

 

803,050

 

 

 

NEW JERSEY BELL TELEPHON COMPANY GUAR

 

7.85% 15 Nov 2029

 

70,000

 

 

 

92,317

 

 

 

NEWS AMERICA INC COMPANY GUAR

 

7.75% 20 Jan 2024

 

395,000

 

 

 

497,259

 

 

128



Table of Contents

 

 

 

OHIO POWER COMPANY SR UNSECURED

 

6.05% 01 May 2018

 

1,675,000

 

 

 

2,009,972

 

 

 

OMNICOM GROUP INC COMPANY GUAR

 

5.9% 15 Apr 2016

 

402,000

 

 

 

458,229

 

 

 

OMNICOM GROUP INC COMPANY GUAR

 

4.45% 15 Aug 2020

 

778,000

 

 

 

865,709

 

 

 

ONCOR ELECTRIC DELIVERY SR SECURED

 

5.3% 01 Jun 2042

 

1,185,000

 

 

 

1,354,806

 

 

 

PACIFICORP 1ST MORTGAGE

 

5.75% 01 Apr 2037

 

1,165,000

 

 

 

1,474,412

 

 

 

PENSKE TRUCK LEASING/PTL UNSECURED 144A

 

3.125% 11 May 2015

 

3,090,000

 

 

 

3,152,851

 

 

 

PERMANENT MASTER ISSUER PLC PERMM 2006 1 6A1 REGS

 

0.89% 15 Apr 2020

 

910,000

 

 

 

1,479,413

 

 

 

PETROBRAS INTL FIN CO COMPANY GUAR

 

3.875% 27 Jan 2016

 

3,665,000

 

 

 

3,866,586

 

 

 

PETROHAWK ENERGY CORP COMPANY GUAR

 

10.5% 01 Aug 2014

 

4,755,000

 

 

 

5,064,075

 

 

 

PETROHAWK ENERGY CORP COMPANY GUAR

 

7.25% 15 Aug 2018

 

1,150,000

 

 

 

1,298,289

 

 

 

PETROLEOS MEXICANOS COMPANY GUAR

 

5.5% 21 Jan 2021

 

1,316,000

 

 

 

1,537,746

 

 

 

PETROLEOS MEXICANOS COMPANY GUAR

 

4.875% 24 Jan 2022

 

1,000,000

 

 

 

1,128,500

 

 

 

PETROLEOS MEXICANOS COMPANY GUAR

 

6% 05 Mar 2020

 

249,000

 

 

 

297,555

 

 

 

PETROLEOS MEXICANOS COMPANY GUAR

 

8% 03 May 2019

 

250,000

 

 

 

326,875

 

 

 

POUND STERLING

 

 

 

2,619,670

 

 

 

4,258,276

 

 

 

PUB SVC ELEC + GAS SR SECURED

 

0.85% 15 Aug 2014

 

3,100,000

 

 

 

3,111,898

 

 

 

QVC INC SR SECURED 144A \

 

5.125% 02 Jul 2022

 

2,745,000

 

 

 

2,877,271

 

 

 

QWEST COMMUNICATIONS INT COMPANY GUAR

 

7.125% 01 Apr 2018

 

3,510,000

 

 

 

3,662,345

 

 

 

QWEST CORP SR UNSECURED VAR

 

1% 15 Jun 2013

 

300,000

 

 

 

302,309

 

 

 

QWEST CORP SR UNSECURED

 

7.5% 01 Oct 2014

 

776,000

 

 

 

849,324

 

 

 

REYNOLDS AMERICAN INC COMPANY GUAR

 

4.75% 01 Nov 2042

 

1,390,000

 

 

 

1,402,340

 

 

 

ROGERS COMMUNICATIONS IN COMPANY GUAR

 

7.5% 15 Mar 2015

 

420,000

 

 

 

478,346

 

 

 

RUBY PIPELINE LLC SR UNSECURED 144A

 

6% 01 Apr 2022

 

2,135,000

 

 

 

2,391,926

 

 

 

RUSSIA FOREIGN BOND SR UNSECURED REGS VAR

 

7.5% 31 Mar 2030

 

290,625

 

 

 

373,279

 

 

 

RUSSIA FOREIGN BOND SR UNSECURED REGS VAR

 

7.5% 31 Mar 2030

 

844,750

 

 

 

1,084,997

 

 

 

SABMILLER HOLDINGS INC COMPANY GUAR 144A

 

3.75% 15 Jan 2022

 

2,125,000

 

 

 

2,294,641

 

 

 

SANTANDER CONSUMER ACQUIRED RE SCART 2011 S1A B 144A

 

1.66% 15 Aug 2016

 

2,424,687

 

 

 

2,445,064

 

 

 

SANTANDER CONSUMER ACQUIRED RE SCART 2011 WO C 144A

 

3.19% 15 Oct 2015

 

3,420,000

 

 

 

3,505,709

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2010 2 C

 

3.89% 17 Jul 2017

 

3,980,000

 

 

 

4,115,782

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 1 A2

 

0.96% 18 Feb 2014

 

418,571

 

 

 

418,664

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 3 A2

 

1.28% 15 Aug 2014

 

2,047,016

 

 

 

2,049,911

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 4 B

 

2.9% 16 May 2016

 

7,189,000

 

 

 

7,372,521

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 4 C

 

3.82% 15 Aug 2017

 

4,320,000

 

 

 

4,455,363

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 S1A B 144A

 

1.48% 15 Jul 2013

 

1,120,078

 

 

 

1,123,436

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 S1A D 144A

 

3.1% 15 May 2017

 

1,347,029

 

 

 

1,351,030

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 3 C

 

3.27% 16 Apr 2018

 

4,110,000

 

 

 

4,238,162

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 4 A2

 

1.06% 17 Aug 2015

 

6,930,000

 

 

 

6,944,047

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 4 D

 

3.5% 15 Jun 2018

 

3,875,000

 

 

 

4,030,543

 

 

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 6 B

 

1.33% 15 May 2017

 

4,280,000

 

 

 

4,279,225

 

 

 

SBA TOWER TRUST MORTGAGE 144A

 

4.254% 15 Apr 2040

 

2,760,000

 

 

 

2,899,604

 

 

 

SCHOLAR FUNDING TRUST SCHOL 2011 A A 144A

 

1.209% 28 Apr 2036

 

3,608,231

 

 

 

3,603,789

 

 

 

SEMPRA ENERGY SR UNSECURED

 

6% 15 Oct 2039

 

1,005,000

 

 

 

1,270,596

 

 

 

SLM STUDENT LOAN TRUST SLMA 2004 B A2

 

0.58875% 15 Jun 2021

 

4,528,327

 

 

 

4,468,155

 

 

 

SLM STUDENT LOAN TRUST SLMA 2010 1 A

 

0.6042% 25 Mar 2025

 

10,476,264

 

 

 

10,494,126

 

 

 

SLM STUDENT LOAN TRUST SLMA 2012 D A2 144A

 

2.95% 15 Feb 2046

 

3,875,000

 

 

 

4,057,923

 

 

 

SMALL BUSINESS ADMINISTRATION SBIC 2004 P10A 1

 

4.504% 10 Feb 2014

 

182,173

 

 

 

186,850

 

 

 

SOUTHERN CAL EDISON 1ST REF MORT

 

5.95% 01 Feb 2038

 

675,000

 

 

 

885,495

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

30,179,892

 

 

 

30,179,892

 

 

 

SWAP RBOS BOC SWAP CASH COLLATERAL USD

 

SWAP CASH COLLATERAL USD

 

520,000

 

 

 

520,000

 

 

 

SWAP RBOS COC SWAP CASH COLLATERAL USD

 

SWAP CASH COLLATERAL USD

 

(520,000

)

 

 

(520,000

)

 

 

TAKEDA PHARMACEUTICAL SR UNSECURED 144A

 

1.625% 17 Mar 2017

 

2,395,000

 

 

 

2,429,608

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

2.582% 26 Apr 2013

 

7,729,000

 

 

 

7,756,052

 

 

 

TENN VALLEY AUTHORITY SR UNSECURED

 

3.5% 15 Dec 2042

 

1,500,000

 

 

 

1,490,616

 

 

 

TENNESSEE GAS PIPELINE SR UNSECURED

 

7% 15 Oct 2028

 

240,000

 

 

 

327,951

 

 

 

TIERS 2012 01 SR SECURED 144A VAR

 

1% 12 May 2014

 

4,090,000

 

 

 

4,100,225

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

6.2% 01 Jul 2013

 

3,585,000

 

 

 

3,683,405

 

 

 

TRANSOCEAN INC COMPANY GUAR

 

6.5% 15 Nov 2020

 

4,980,000

 

 

 

6,031,393

 

 

 

TSY INFL IX N/B

 

0.75% 15 Feb 2042

 

7,413,780

 

 

 

8,119,824

 

 

 

ULTRA LONG US TREAS BOND FTRS XCBT

 

MAR13 XCBT

 

(3,600,000

)

 

 

89,244

 

 

 

UNITED TECHNOLOGIES CORP SR UNSECURED

 

4.5% 01 Jun 2042

 

2,940,000

 

 

 

3,266,813

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

3.375% 15 Nov 2021

 

745,000

 

 

 

793,703

 

 

 

US DOLLAR

 

 

 

(1,514,696

)

 

 

(1,514,696

)

 

 

US TREASURY N/B

 

6.625% 15 Feb 2027

 

21,770,000

 

 

 

33,488,377

 

 

 

US TREASURY N/B

 

4.5% 15 Feb 2036

 

25,345,000

 

 

 

33,356,402

 

 

 

US TREASURY N/B

 

4.75% 15 Feb 2037

 

6,880,000

 

 

 

9,386,900

 

 

 

US TREASURY N/B

 

3.125% 15 Feb 2042

 

23,475,000

 

 

 

24,546,047

 

 

 

US TREASURY N/B

 

0.75% 15 Aug 2013

 

7,280,000

 

 

 

7,307,300

 

 

 

US TREASURY N/B

 

0.25% 31 Aug 2014

 

42,415,000

 

 

 

42,426,579

 

 

 

US TREASURY N/B

 

3.75% 15 Aug 2041

 

5,850,000

 

 

 

6,875,575

 

 

 

US TREASURY N/B

 

2.75% 15 Aug 2042

 

13,550,000

 

 

 

13,084,219

 

 

 

US TREASURY N/B

 

0% 30 Sep 2013

 

4,665,000

 

 

 

4,663,726

 

 

 

US TREASURY N/B

 

0.75% 15 Sep 2013

 

6,615,000

 

 

 

6,642,651

 

 

 

US TREASURY N/B

 

0.25% 30 Nov 2014

 

90,820,000

 

 

 

90,823,542

 

 

 

US TREASURY N/B

 

0.375% 15 Nov 2015

 

29,060,000

 

 

 

29,087,258

 

 

 

US TREASURY N/B

 

0.625% 30 Nov 2017

 

71,795,000

 

 

 

71,553,841

 

 

 

US TREASURY N/B

 

1% 30 Nov 2019

 

87,830,000

 

 

 

86,979,103

 

 

 

US TREASURY N/B

 

1.625% 15 Nov 2022

 

6,080,000

 

 

 

6,013,497

 

 

 

US TREASURY N/B

 

7.5% 15 Nov 2024

 

10,500,000

 

 

 

16,721,250

 

 

 

US TREASURY N/B

 

6.5% 15 Nov 2026

 

27,480,000

 

 

 

41,730,963

 

 

 

US TREASURY N/B

 

2.75% 15 Nov 2042

 

21,485,000

 

 

 

20,699,465

 

 

 

US TREASURY N/B

 

0.25% 15 Dec 2015

 

22,740,000

 

 

 

22,672,485

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

6.25% 01 Apr 2037

 

2,170,000

 

 

 

2,852,675

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

6.9% 15 Apr 2038

 

170,000

 

 

 

241,943

 

 

 

VERIZON GLOBAL FUNDING SR UNSECURED

 

7.75% 15 Jun 2032

 

360,000

 

 

 

530,310

 

 

 

VERIZON MARYLAND INC COMPANY GUAR

 

5.125% 15 Jun 2033

 

590,000

 

 

 

616,833

 

 

 

VERIZON NEW ENGLAND INC COMPANY GUAR

 

7.875% 15 Nov 2029

 

125,000

 

 

 

166,061

 

 

 

VIRGIN MEDIA SECURED FIN SR SECURED

 

6.5% 15 Jan 2018

 

980,000

 

 

 

1,054,725

 

 

 

VIRGIN MEDIA SECURED FIN SR SECURED

 

5.5% 15 Jan 2021

 

590,000

 

 

 

1,075,243

 

 

 

VODAFONE GROUP PLC SR UNSECURED

 

4.15% 10 Jun 2014

 

2,280,000

 

 

 

2,392,160

 

 

 

WELLPOINT INC SR UNSECURED

 

3.3% 15 Jan 2023

 

1,730,000

 

 

 

1,774,989

 

 

 

WELLPOINT INC SR UNSECURED

 

4.65% 15 Jan 2043

 

845,000

 

 

 

880,588

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

3.5% 08 Mar 2022

 

2,090,000

 

 

 

2,229,303

 

 

 

WILLIAMS COMPANIES INC SR UNSECURED

 

3.7% 15 Jan 2023

 

1,240,000

 

 

 

1,250,731

 

 

 

WILLIAMS COMPANIES INC SR UNSECURED

 

7.5% 15 Jan 2031

 

2,311,000

 

 

 

2,889,277

 

 

 

WINDSTREAM CORP COMPANY GUAR

 

8.125% 01 Aug 2013

 

475,000

 

 

 

492,813

 

 

 

XYLEM INC COMPANY GUAR

 

3.55% 20 Sep 2016

 

1,385,000

 

 

 

1,475,475

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5710 1 of 15

 

 

 

 

 

1,633,181,730

 

 

129



Table of Contents

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

10YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

(21,200,000

)

 

 

$

93,897

 

 

 

317U484D9 IRO USD 5Y

 

SEP15 2.5 PUT

 

(23,100,000

)

 

 

(358,073

)

 

 

317U488D5 IRO USD 30Y

 

SEP15 3.45 PUT

 

5,500,000

 

 

 

427,499

 

 

 

317U865C0 IRO USD 5Y

 

MAR13 1.4 CALL

 

(3,300,000

)

 

 

(82,256

)

 

 

317U866C9 IRO USD 5Y

 

MAR13 1.4 PUT

 

(3,300,000

)

 

 

(1,030

)

 

 

317U871C2 IRO USD 5Y

 

MAR13 1.4 PUT

 

(43,100,000

)

 

 

(13,447

)

 

 

317U872C1 IRO USD 5Y

 

MAR13 1.4 CALL

 

(43,100,000

)

 

 

(1,074,311

)

 

 

5YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

(14,800,000

)

 

 

28,736

 

 

 

ABBEY NATL TREASURY SERV BANK GUARANT VAR

 

1% 25 Apr 2014

 

7,000,000

 

 

 

6,983,984

 

 

 

ALLY FINANCIAL INC COMPANY GUAR VAR

 

1% 20 Jun 2014

 

5,300,000

 

 

 

5,421,741

 

 

 

AMERICAN EXPRESS BK FSB SR UNSECURED

 

5.5% 16 Apr 2013

 

3,300,000

 

 

 

3,347,735

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

8.25% 15 Aug 2018

 

4,700,000

 

 

 

6,175,264

 

 

 

ANZ NEW ZEALAND INTL/LDN BANK GUARANT 144A

 

6.2% 19 Jul 2013

 

2,300,000

 

 

 

2,359,710

 

 

 

AUSTRALIAN DOLLAR

 

 

 

195,395

 

 

 

202,859

 

 

 

AUSTRALIAN GOVERNMENT SR UNSECURED

 

5.5% 15 Dec 2013

 

200,000

 

 

 

213,217

 

 

 

BANC OF AMERICA FUNDING CORPOR BAFC 2006 J 4A1

 

6.14656% 20 Jan 2047

 

127,343

 

 

 

92,728

 

 

 

BANCO DO BRASIL SA

 

0.01% 28 Jun 2013

 

9,500,000

 

 

 

9,479,433

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

5.65% 01 May 2018

 

3,900,000

 

 

 

4,537,428

 

 

 

BARCLAYS BANK PLC SR UNSECURED VAR

 

1% 13 Jan 2014

 

6,400,000

 

 

 

6,432,339

 

 

 

BARCLAYS BANK PLC SUBORDINATED 144A

 

6.05% 04 Dec 2017

 

4,600,000

 

 

 

5,089,385

 

 

 

BARCLAYS CAPITAL REPO REPO

 

0.16% 11 Jan 2013

 

300,000

 

 

 

300,000

 

 

 

BARCLAYS CASH COLLATERAL CCBCYCUS6

 

CCBCYCUS6

 

25,000

 

 

 

25,000

 

 

 

BARRICK GOLD CORP SR UNSECURED

 

1.75% 30 May 2014

 

3,100,000

 

 

 

3,143,298

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2005 2 A1

 

4.125% 25 Mar 2035

 

825,899

 

 

 

832,021

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2005 5 A2

 

4.55% 25 Aug 2035

 

213,629

 

 

 

216,086

 

 

 

BEAR STEARNS ALT A TRUST BALTA 2006 6 32A1

 

2.848632% 25 Nov 2036

 

1,408,400

 

 

 

907,570

 

 

 

BEAR STEARNS COS LLC SR UNSECURED

 

6.4% 02 Oct 2017

 

600,000

 

 

 

720,599

 

 

 

BEAR STEARNS COS LLC SR UNSECURED

 

5.7% 15 Nov 2014

 

1,100,000

 

 

 

1,195,339

 

 

 

BEAR STEARNS STRUCTURED PRODUC BSSP 2007 R6 1A1

 

1% 26 Jan 2036

 

503,492

 

 

 

317,777

 

 

 

BEAR STEARNS STRUCTURED PRODUC BSSP 2007 R6 2A1

 

5.788% 26 Dec 2046

 

328,275

 

 

 

177,796

 

 

 

BRAZILIAN REAL

 

 

 

2,069

 

 

 

1,011

 

 

 

BUCKEYE OH TOBACCO SETTLEMENT BUCGEN FIXED OID

 

5.875% 01 Jun 2047

 

1,100,000

 

 

 

983,873

 

 

 

BUNDESSCHATZANWEISUNGEN BONDS

 

1.75% 14 Jun 2013

 

45,100,000

 

 

 

59,918,406

 

 

 

BWPC415P1 CDS USD P FCME

 

0.8% 20 Dec 2017

 

(5,033,600

)

 

 

(4,931,473

)

 

 

BWPC415P1 CDS USD R V 00MEVENT CME

 

1% 20 Dec 2017

 

5,033,600

 

 

 

5,033,600

 

 

 

BWPCTESK2 CDS USD P F

 

5% 20 Jun 2015

 

(12,672,000

)

 

 

(13,433,701

)

 

 

BWPCTESK2 CDS USD R V

 

1% 20 Jun 2015

 

12,672,000

 

 

 

12,672,000

 

 

 

BWPCTESL0 CDS USD P F

 

5% 20 Dec 2015

 

(10,752,000

)

 

 

(11,351,005

)

 

 

BWPCTESL0 CDS USD R V

 

1% 20 Dec 2015

 

10,752,000

 

 

 

10,752,000

 

 

 

BWU001DY7 IRS EUR P F

 

1.75% 20 Mar 2023

 

(2,300,000

)

 

 

(3,068,951

)

 

 

BWU001DY7 IRS EUR R V 06MEURIB MYC

 

1% 20 Mar 2023

 

2,300,000

 

 

 

3,032,321

 

 

 

BWU002JE3 IRS USD P F

 

1.5% 04 Jan 2018

 

(2,100,000

)

 

 

(2,107,209

)

 

 

BWU002JE3 IRS USD R V 03MLIBOR CCP SWUV02JE5 CCPVANILLA

 

1% 04 Jan 2018

 

2,100,000

 

 

 

2,100,000

 

 

 

BWU0695U1 IRS USD P F

 

1.5% 20 Jun 2017

 

(7,200,000

)

 

 

(7,449,718

)

 

 

BWU0695U1 IRS USD R V 03MLIBOR BRC

 

1% 20 Jun 2017

 

7,200,000

 

 

 

7,200,000

 

 

 

CALIFORNIA ST CAS FIXED

 

7.5% 01 Apr 2034

 

800,000

 

 

 

1,112,600

 

 

 

CANADIAN DOLLAR

 

 

 

86,793

 

 

 

87,168

 

 

 

CD COMMERCIAL MORTGAGE TRUST CD 2007 CD5 A4

 

1% 15 Nov 2044

 

896,282

 

 

 

1,059,096

 

 

 

CHICAGO IL TRANSIT AUTH SALES CHITRN FIXED

 

6.899% 01 Dec 2040

 

6,900,000

 

 

 

8,374,254

 

 

 

CHICAGO IL TRANSIT AUTH SALES CHITRN FIXED

 

6.899% 01 Dec 2040

 

3,700,000

 

 

 

4,490,542

 

 

 

CITIGROUP INC SR UNSECURED

 

5.5% 11 Apr 2013

 

3,900,000

 

 

 

3,940,182

 

 

 

CITIGROUP INC SR UNSECURED

 

6% 15 Aug 2017

 

100,000

 

 

 

117,815

 

 

 

CITIGROUP MORTGAGE LOAN TRUST CMLTI 2005 6 A2

 

4.2475% 25 Sep 2035

 

441,848

 

 

 

433,412

 

 

 

CITIGROUP TBA CASH COLLATERAL

 

TBA CASH COLLATERAL

 

(267,000

)

 

 

(267,000

)

 

130



Table of Contents

 

 

 

CREDIT AG HOME LOAN SFH COVERED 144A VAR

 

1%   21 Jul 2014

 

9,000,000

 

 

 

9,015,066

 

 

 

CURRENCY CONTRACT

 

BUYCNY/SELLUSD

 

 

 

 

 

620,651

 

 

 

CURRENCY CONTRACT

 

BUYNOK/SELLUSD

 

 

 

 

 

31,886

 

 

 

CURRENCY CONTRACT

 

BUYMXN/SELLUSD

 

 

 

 

 

(9

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(548

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLMYR

 

 

 

 

 

(203

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(176

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

212

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(3,643

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLAUD

 

 

 

 

 

767

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLCNY

 

 

 

 

 

(23,736

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLJPY

 

 

 

 

 

65,851

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLBRL

 

 

 

 

 

(21,537

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLCAD

 

 

 

 

 

53,533

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(48,562

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(180,792

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLCNY

 

 

 

 

 

(205,586

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

(164,273

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLAUD

 

 

 

 

 

(64,732

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLCNY

 

 

 

 

 

(380,149

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(1,265,127

)

 

 

DAIMLER FIN NORTH AMERICA

 

1.07%   11 Oct 2013

 

7,900,000

 

 

 

7,851,014

 

 

 

DAIMLER FIN NORTH AMERICA

 

1.07%   15 Oct 2013

 

1,100,000

 

 

 

1,093,066

 

 

 

DANFIN FUNDING LTD GOVT LIQUID  144A VAR

 

1%   16 Jul 2013

 

8,700,000

 

 

 

8,723,246

 

 

 

DEXIA CREDIT LOCAL GOVT GUARANT 144A

 

2.75%   29 Apr 2014

 

1,400,000

 

 

 

1,419,750

 

 

 

DEXIA CREDIT LOCAL GOVT GUARANT 144A VAR

 

0.7805%   29 Apr 2014

 

8,800,000

 

 

 

8,682,240

 

 

 

ESC LEHMAN BRTH HLDG

 

1%   24 Jan 2013

 

7,400,000

 

 

 

1,748,250

 

 

 

EURO CURRENCY

 

 

 

(305,398

)

 

 

(402,637

)

 

 

EURO OAT FUTURES

 

MAR13 XEUR

 

(2,700,000

)

 

 

(30,644

)

 

 

EXPORT IMPORT BK KOREA SR UNSECURED

 

8.125%   21 Jan 2014

 

10,400,000

 

 

 

11,160,417

 

 

 

FANNIE MAE FNR 1997 66 Z

 

7.5%   20 Sep 2027

 

834,646

 

 

 

973,304

 

 

 

FANNIE MAE FNR G92 61 Z

 

7%   25 Oct 2022

 

190,132

 

 

 

222,729

 

 

 

FANNIE MAE FNR G93 5 Z

 

6.5%   25 Feb 2023

 

197,979

 

 

 

228,104

 

 

 

FANNIEMAE WHOLE LOAN FNW 1998 W2 A8

 

6.5%   25 Jun 2028

 

79,195

 

 

 

88,184

 

 

 

FED HM LN PC POOL 1J1214

 

5.351%   01 Sep 2035

 

207,845

 

 

 

219,056

 

 

 

FED HM LN PC POOL 1J1219

 

2.375%   01 Oct 2035

 

1,327,514

 

 

 

1,420,387

 

 

 

FED HM LN PC POOL 785867

 

4.423%   01 Dec 2026

 

46,004

 

 

 

48,496

 

 

 

FED HM LN PC POOL 789758

 

1%   01 Sep 2032

 

65,484

 

 

 

69,875

 

 

 

FED HM LN PC POOL 789777

 

1%   01 Sep 2032

 

34,646

 

 

 

36,954

 

 

 

FED HM LN PC POOL G06239

 

4%   01 Feb 2041

 

15,447,796

 

 

 

16,505,883

 

 

 

FED HM LN PC POOL Q00232

 

4.5%   01 Apr 2041

 

602,667

 

 

 

650,296

 

 

 

FEDERAL NATL MTG ASSN

 

3.5%   01 Dec 2099

 

5,000,000

 

 

 

5,300,781

 

 

 

FHA 221 D4 PROJ GMAC

 

7.43%   01 Dec 2020

 

161,149

 

 

 

158,887

 

 

 

FHA 221/D4 GMAC 56 P8/01

 

7.43%   25 Oct 2022

 

33,998

 

 

 

33,520

 

 

 

FHA 232 236

 

6.69%   01 May 2016

 

4,077

 

 

 

3,993

 

 

 

FHA 253 P11 02 PJ HUNT PG 87 NCP ASCT FHA AMD AIR 7300000

 

7.43%   01 Jan 2021

 

293,545

 

 

 

289,424

 

 

 

FHA INSD 23RD MTG SER USGI

 

7.43%   01 Mar 2022

 

11,619

 

 

 

11,456

 

 

 

FHA INSD MTG P/T 091 ML LYNCH

 

7.43%   01 Jul 2024

 

24,874

 

 

 

24,561

 

 

 

FHA INSD MTG POOL 56 GMAC

 

7.43%   25 Oct 2022

 

4,857

 

 

 

4,789

 

 

 

FHA INSD MTG POOL 64 REILLY

 

7.43%   01 Nov 2024

 

21,855

 

 

 

21,580

 

 

 

FHA PROJ LN CTF SER POOL 5

 

7.43%   01 Feb 2022

 

18,076

 

 

 

17,822

 

 

 

FHLMC GOLD TBA 30 YR

 

4%   01 Dec 2099

 

3,000,000

 

 

 

3,202,500

 

 

 

FIRST HORIZON MORTGAGE PASS TH FHASI 2005 AR3 2A1

 

5.369408%   25 Aug 2035

 

100,924

 

 

 

97,821

 

 

 

FNMA    TBA FEB 30 SINGLE FAM

 

5%   01 Dec 2099

 

(5,000,000

)

 

 

(5,416,406

)

 

 

FNMA    TBA JAN 15 SINGLE FAM

 

4.5%   01 Dec 2099

 

1,000,000

 

 

 

1,075,625

 

 

 

FNMA    TBA JAN 15 SINGLE FAM

 

4.5%   01 Dec 2099

 

(5,000,000

)

 

 

(5,378,125

)

 

 

FNMA    TBA JAN 30 SINGLE FAM

 

4.5%   01 Dec 2099

 

500,000

 

 

 

540,098

 

 

 

FNMA POOL 066414

 

4.859%   01 Sep 2028

 

140,454

 

 

 

146,170

 

 

 

FNMA POOL 190639

 

5.5%   01 Jan 2024

 

4,832

 

 

 

5,439

 

 

 

FNMA POOL 255075

 

5.5%   01 Feb 2024

 

680,003

 

 

 

745,644

 

 

 

FNMA POOL 256158

 

2.684%   01 Feb 2036

 

25,862

 

 

 

27,589

 

 

 

FNMA POOL 257238

 

5%   01 Jun 2028

 

664,607

 

 

 

720,350

 

 

 

FNMA POOL 450838

 

5.5%   01 Dec 2028

 

5,598

 

 

 

6,182

 

 

 

FNMA POOL 544502

 

1.77%   01 Jul 2030

 

53,197

 

 

 

54,413

 

 

 

FNMA POOL 725027

 

5%   01 Nov 2033

 

172,970

 

 

 

188,450

 

 

 

FNMA POOL 735764

 

2.389%   01 Jul 2035

 

1,116,235

 

 

 

1,192,850

 

 

 

FNMA POOL 735965

 

3.156%   01 Oct 2035

 

1,020,177

 

 

 

1,092,783

 

 

 

FNMA POOL 745393

 

4.5%   01 Sep 2020

 

488,872

 

 

 

527,228

 

 

 

FNMA POOL 783610

 

2.35%   01 Jun 2035

 

1,673,855

 

 

 

1,780,894

 

 

 

FNMA POOL 822101

 

2.76%   01 May 2035

 

1,333,791

 

 

 

1,419,970

 

 

 

FNMA POOL 825157

 

2.95%   01 Aug 2035

 

417,590

 

 

 

446,147

 

 

 

FNMA POOL 826129

 

2.422%   01 Jul 2035

 

1,240,617

 

 

 

1,306,523

 

 

 

FNMA POOL 897717

 

2.134%   01 Aug 2036

 

238,032

 

 

 

252,649

 

 

 

FNMA POOL 898700

 

5%   01 Jul 2033

 

92,556

 

 

 

100,839

 

 

 

FNMA POOL 899007

 

4.5%   01 Jan 2022

 

34,224

 

 

 

36,845

 

 

 

FNMA POOL 929672

 

4.5%   01 Jun 2023

 

769,496

 

 

 

828,186

 

 

 

FNMA POOL 941599

 

4%   01 Oct 2025

 

338,947

 

 

 

363,899

 

 

 

FNMA POOL 962845

 

4.5%   01 Apr 2023

 

18,520

 

 

 

19,933

 

 

 

FNMA POOL 975330

 

4.5%   01 May 2023

 

72,789

 

 

 

78,341

 

 

 

FNMA POOL AA4274

 

4.5%   01 May 2024

 

418,882

 

 

 

450,766

 

 

131



Table of Contents

 

 

 

FNMA POOL AA7916

 

4%   01 Mar 2039

 

142,608

 

 

 

153,250

 

 

 

FNMA POOL AB0554

 

4.5%   01 Apr 2024

 

12,533

 

 

 

13,489

 

 

 

FNMA POOL AB2850

 

5%   01 Aug 2039

 

967,191

 

 

 

1,047,708

 

 

 

FNMA POOL AB3959

 

2.5%   01 Nov 2021

 

758,793

 

 

 

796,417

 

 

 

FNMA POOL AB4114

 

4%   01 Dec 2041

 

204,897

 

 

 

219,930

 

 

 

FNMA POOL AB5230

 

2.5%   01 May 2027

 

10,688,081

 

 

 

11,184,631

 

 

 

FNMA POOL AB6277

 

2.5%   01 Sep 2027

 

1,987,425

 

 

 

2,079,757

 

 

 

FNMA POOL AC3290

 

4.5%   01 Oct 2024

 

2,238,846

 

 

 

2,409,255

 

 

 

FNMA POOL AC3879

 

4.5%   01 Dec 2024

 

182,431

 

 

 

196,316

 

 

 

FNMA POOL AC8594

 

4.5%   01 Jan 2025

 

125,049

 

 

 

134,938

 

 

 

FNMA POOL AD4308

 

4.5%   01 Apr 2025

 

8,572

 

 

 

9,250

 

 

 

FNMA POOL AE4014

 

3.5%   01 Nov 2025

 

763,672

 

 

 

810,583

 

 

 

FNMA POOL AE7758

 

3.5%   01 Nov 2025

 

729,084

 

 

 

773,869

 

 

 

FNMA POOL AE8058

 

3.5%   01 Dec 2025

 

329,307

 

 

 

349,535

 

 

 

FNMA POOL AE8158

 

4.5%   01 Aug 2024

 

428,647

 

 

 

461,340

 

 

 

FNMA POOL AE9826

 

3.5%   01 Dec 2025

 

555,123

 

 

 

589,223

 

 

 

FNMA POOL AH2894

 

3.5%   01 Jan 2026

 

821,146

 

 

 

871,586

 

 

 

FNMA POOL AH4598

 

3.5%   01 Apr 2026

 

800,760

 

 

 

849,949

 

 

 

FNMA POOL AH6492

 

4%   01 Mar 2026

 

19,907

 

 

 

21,329

 

 

 

FNMA POOL AH9250

 

4%   01 Mar 2026

 

57,204

 

 

 

61,272

 

 

 

FNMA POOL AK4046

 

2.5%   01 Feb 2027

 

58,882

 

 

 

61,617

 

 

 

FNMA POOL AK4147

 

2.5%   01 Oct 2027

 

2,668,330

 

 

 

2,792,296

 

 

 

FNMA POOL AL030

 

4.5%   01 Jun 2026

 

488,221

 

 

 

527,441

 

 

 

FNMA POOL AO0483

 

2.5%   01 Sep 2027

 

5,300,005

 

 

 

5,546,234

 

 

 

FNMA POOL AO0794

 

2.5%   01 Apr 2027

 

641,601

 

 

 

671,408

 

 

 

FNMA POOL AO5492

 

2.5%   01 Jul 2027

 

996,707

 

 

 

1,043,012

 

 

 

FNMA POOL AP5199

 

2.5%   01 Sep 2027

 

662,387

 

 

 

693,574

 

 

 

FNMA POOL AP6730

 

2.5%   01 Oct 2027

 

23,676,072

 

 

 

24,776,022

 

 

 

FNMA POOL AP7534

 

2.5%   01 Sep 2027

 

11,911,050

 

 

 

12,464,418

 

 

 

FNMA POOL AP9524

 

2.5%   01 Oct 2027

 

2,307,352

 

 

 

2,414,548

 

 

 

FNMA POOL AQ2423

 

2.5%   01 Nov 2027

 

2,782,641

 

 

 

2,911,917

 

 

 

FNMA POOL AQ3740

 

2.5%   01 Nov 2027

 

496,977

 

 

 

520,066

 

 

 

FNMA POOL MA0184

 

5%   01 Sep 2029

 

3,328,819

 

 

 

3,608,018

 

 

 

FNMA POOL MA1081

 

2.5%   01 May 2027

 

4,870,597

 

 

 

5,096,877

 

 

 

FNMA POOL MA1210

 

2.5%   01 Oct 2027

 

21,849,106

 

 

 

22,864,179

 

 

 

FNMA POOL MA1277

 

2.5%   01 Nov 2027

 

203,864

 

 

 

213,336

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

6%   01 Dec 2099

 

400,000

 

 

 

436,875

 

 

 

FNMA TBA MAR

 

3%   01 Dec 2099

 

4,000,000

 

 

 

4,182,500

 

 

 

FNMA TBA SINGLE FAMILY MORTGAG

 

4%   01 Dec 2099

 

5,600,000

 

 

 

6,002,500

 

 

 

FORD MOTOR CREDIT CO

 

0.9%   16 Jan 2013

 

3,600,000

 

 

 

3,598,608

 

 

 

FORD MOTOR CREDIT CO

 

1.4%   18 Jan 2013

 

100,000

 

 

 

99,957

 

 

 

FORD MOTOR CREDIT CO

 

0%   18 Jan 2013

 

7,500,000

 

 

 

7,496,738

 

 

 

FORD MOTOR CREDIT CO

 

0.96%   05 Mar 2013

 

400,000

 

 

 

399,309

 

 

 

FORD MOTOR CREDIT CO

 

1.19%   09 Jul 2013

 

500,000

 

 

 

497,088

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

7%   01 Oct 2013

 

1,600,000

 

 

 

1,672,160

 

 

 

FREDDIE MAC DISCOUNT NT DISCOUNT NOT

 

5.07%   03 Apr 2001

 

33,500,000

 

 

 

33,494,071

 

 

 

FREDDIE MAC FHR 1278 K

 

7%   15 May 2022

 

196,113

 

 

 

218,492

 

 

 

GAZPROM (GAZ CAPITAL SA) SR UNSECURED 144A

 

8.146%   11 Apr 2018

 

2,800,000

 

 

 

3,453,800

 

 

 

GERMAN EURO BUND FUTURES

 

MAR13 XEUR

 

3,000,000

 

 

 

35,379

 

 

 

GNMA II POOL 002910

 

8.5%   20 Apr 2030

 

2,324

 

 

 

2,914

 

 

 

GNMA II POOL 002947

 

8.5%   20 Jul 2030

 

1,193

 

 

 

1,493

 

 

 

GNMA II POOL 003029

 

8.5%   20 Jan 2031

 

4,795

 

 

 

6,017

 

 

 

GNMA II POOL 003057

 

8.5%   20 Mar 2031

 

274

 

 

 

275

 

 

 

GNMA II POOL 780840

 

8.5%   20 Jul 2028

 

13,995

 

 

 

15,428

 

 

 

GNMA SINGLE FAMILY

 

3%   01 Dec 2099

 

25,000,000

 

 

 

26,519,533

 

 

 

GNMA TBA 30YR

 

3%   01 Dec 2099

 

44,000,000

 

 

 

46,770,627

 

 

 

GOLDMAN CCP USD GOLDMAN CCP CCGSCCUS0

 

GOLDMAN CCP CCGSCCUS0

 

21,000

 

 

 

21,000

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

6.15%   01 Apr 2018

 

3,300,000

 

 

 

3,876,734

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED  VAR

 

0.9612%   22 Jul 2015

 

600,000

 

 

 

588,733

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

6.25%   01 Sep 2017

 

5,500,000

 

 

 

6,487,894

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 1998 12 Z

 

6.5%   20 May 2028

 

214,264

 

 

 

242,494

 

 

 

GSR MORTGAGE LOAN TRUST GSR 2005 AR6 2A1

 

4.539779%   25 Sep 2035

 

1,684,028

 

 

 

1,686,748

 

 

 

INDUSTRIAL BANK OF KOREA SR UNSECURED 144A

 

2.375%   17 Jul 2017

 

9,500,000

 

 

 

9,647,184

 

 

 

INDYMAC INDX MORTGAGE LOAN TRU INDX 2004 AR11 2A

 

5.04428%   25 Dec 2034

 

62,494

 

 

 

55,139

 

 

 

INTL LEASE FINANCE CORP SR SECURED 144A

 

7.125%   01 Sep 2018

 

4,400,000

 

 

 

5,104,000

 

 

 

JAPANESE YEN

 

 

 

649

 

 

 

8

 

 

 

JP MORGAN CHASE BANK NA SUBORDINATED  VAR

 

0.6101%   13 Jun 2016

 

900,000

 

 

 

874,947

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2011 FL1 A 144A

 

2.149%   15 Nov 2028

 

8,970,039

 

 

 

9,054,519

 

 

 

JP MORGAN MORTGAGE TRUST JPMMT 2005 A1 6T1

 

1%   25 Feb 2035

 

148,984

 

 

 

151,250

 

 

 

JP MORGAN MORTGAGE TRUST JPMMT 2006 A1 2A2

 

2.86433%   25 Feb 2036

 

692,570

 

 

 

585,743

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

6.3%   23 Apr 2019

 

500,000

 

 

 

616,881

 

 

 

KENTUCKY ST PROPERTY + BLDGS C KYSFAC FIXED

 

4.303%   01 Nov 2019

 

1,500,000

 

 

 

1,685,220

 

 

 

KENTUCKY ST PROPERTY + BLDGS C KYSFAC  FIXED

 

4.403%   01 Nov 2020

 

1,800,000

 

 

 

2,042,964

 

 

 

KENTUCKY ST PROPERTY + BLDGS C KYSFAC  FIXED

 

5.373%   01 Nov 2025

 

3,300,000

 

 

 

3,849,582

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C7 A3

 

5.866%   15 Sep 2045

 

500,000

 

 

 

596,114

 

 

 

LBG CAPITAL NO.1 PLC BANK GUARANT 144A

 

7.875%   01 Nov 2020

 

310,000

 

 

 

333,497

 

 

 

LEHMAN BROTHERS HOLDINGS SUBORDINATED

 

6.75%   28 Dec 2017

 

3,100,000

 

 

 

310

 

 

 

LEHMAN BROTHERS INC TBA CASH COLLATERAL

 

TBA CASH COLLATERAL

 

(637,501

)

 

 

(637,501

)

 

 

LLOYDS TSB BANK PLC JR SUBORDINA 144A  VAR

 

12%   31 Dec 2049

 

10,900,000

 

 

 

12,607,921

 

 

 

LOS ANGELES CA UNIF SCH DIST LOSSCD  FIXED

 

4.5%   01 Jul 2023

 

4,100,000

 

 

 

4,647,596

 

 

132



Table of Contents

 

 

 

MERRILL LYNCH + CO SR UNSECURED

 

6.875%   25 Apr 2018

 

300,000

 

 

 

361,636

 

 

 

MERRILL LYNCH + CO SR UNSECURED

 

6.4%   28 Aug 2017

 

3,500,000

 

 

 

4,110,243

 

 

 

MERRILL LYNCH MORTGAGE INVESTO MLMI 2005 A10 A

 

0.4142%   25 Feb 2036

 

305,205

 

 

 

264,661

 

 

 

MEXICAN PESO (NEW)

 

 

 

9,855

 

 

 

759

 

 

 

MLCC MORTGAGE INVESTORS INC MLCC 2005 2 3A

 

6.32%   25 Oct 2035

 

77,735

 

 

 

76,006

 

 

 

MLCC MORTGAGE INVESTORS INC MLCC 2005 3 4A

 

0.4542%   25 Nov 2035

 

52,189

 

 

 

48,635

 

 

 

MORGAN STANLEY CAP SVCS BOC SWAP CASH COLLATERAL USD

 

SWAP CASH COLLATERAL USD

 

(875,000

)

 

 

(875,000

)

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2007 IQ15 A4

 

5.880716%   11 Jun 2049

 

400,000

 

 

 

470,253

 

 

 

MORGAN STANLEY REPO 9W08

 

0.25%   02 Jan 2013

 

11,100,000

 

 

 

11,100,000

 

 

 

MORGAN STANLEY SR UNSECURED  VAR

 

1%   09 Jan 2014

 

1,200,000

 

 

 

1,191,526

 

 

 

MORGAN STANLEY SR UNSECURED VAR

 

1%   29 Apr 2013

 

9,100,000

 

 

 

9,120,639

 

 

 

MORGAN STANLEY SR UNSECURED  VAR

 

1.845%   13 Apr 2016

 

3,500,000

 

 

 

4,385,665

 

 

 

MORGAN STANLEY SR UNSECURED

 

5.55%   27 Apr 2017

 

3,500,000

 

 

 

3,880,223

 

 

 

MORGAN STANLEY SR UNSECURED

 

7.3%   13 May 2019

 

1,100,000

 

 

 

1,336,742

 

 

 

MORGAN STANLEY TBA CASH COLLATERAL

 

TBA CASH COLLATERAL

 

(15,000

)

 

 

(15,000

)

 

 

NEW YORK CITY NY TRANSITIONAL NYCGEN FIXED

 

4.725%   01 Nov 2023

 

2,500,000

 

 

 

2,931,375

 

 

 

NEW YORK CITY NY TRANSITIONAL NYCGEN FIXED

 

4.905%   01 Nov 2024

 

1,900,000

 

 

 

2,262,387

 

 

 

NEW YORK CITY NY TRANSITIONAL NYCGEN FIXED

 

5.075%   01 Nov 2025

 

1,900,000

 

 

 

2,292,635

 

 

 

NEW ZEALAND DOLLAR

 

 

 

116

 

 

 

96

 

 

 

NOTA DO TESOURO NACIONAL NOTES

 

10%   01 Jan 2013

 

20,000

 

 

 

97,680

 

 

 

NOTA DO TESOURO NACIONAL NOTES

 

10%   01 Jan 2014

 

1,008,000

 

 

 

504,997

 

 

 

NOTA DO TESOURO NACIONAL SENIOR NOTES

 

10%   01 Jan 2017

 

776,000

 

 

 

3,990,345

 

 

 

ONTARIO (PROVINCE OF) UNSECURED

 

3.15%   02 Jun 2022

 

5,500,000

 

 

 

5,714,708

 

 

 

OVERSEAS PRIVATE INV COR US GOVT GUAR

 

0.01%   18 Nov 2013

 

9,000,000

 

 

 

9,129,510

 

 

 

PALOMAR CA CMNTY CLG DIST PMRHGR FIXED

 

4.75%   01 May 2032

 

100,000

 

 

 

111,118

 

 

 

PIMCO FDS PAC INVT MGMT SER

 

EMERGING MKTS PORTFOLIO

 

1,958,560

 

 

 

21,015,349

 

 

 

PIMCO FDS PAC INVT MGMT SER

 

MUTUAL FUND

 

1,665,541

 

 

 

14,939,905

 

 

 

POUND STERLING

 

 

 

166

 

 

 

270

 

 

 

RABOBANK NEDERLAND BANK GUARANT

 

4.5%   11 Jan 2021

 

5,600,000

 

 

 

6,294,299

 

 

 

REPO BANK AMERICA REPO

 

0

 

22,700,000

 

 

 

22,700,000

 

 

 

RESIDENTIAL ACCREDIT LOANS, IN RALI 2006 QO6 A1

 

0.3842%   25 Jun 2046

 

481,415

 

 

 

219,661

 

 

 

RESIDENTIAL ACCREDIT LOANS, IN RALI 2006 QS7 A1

 

6%   25 Jun 2036

 

1,982,126

 

 

 

1,524,546

 

 

 

ROYAL BK SCOTLND GRP PLC JR SUBORDINA VAR

 

7.64%   31 Dec 2049

 

400,000

 

 

 

360,000

 

 

 

SEQUOIA MORTGAGE TRUST SEMT 2005 4 2A1

 

2.8172%   20 Apr 2035

 

1,388,888

 

 

 

1,387,262

 

 

 

SINGAPORE DOLLAR

 

 

 

0

 

 

 

0

 

 

 

SLM STUDENT LOAN TRUST SLMA 2008 9 A

 

1.801%   25 Apr 2023

 

10,859,035

 

 

 

11,316,049

 

 

 

SMALL BUSINESS ADMINISTRATION SBAP 2008 20I 1

 

5.6%   01 Sep 2028

 

6,052,884

 

 

 

7,049,611

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

5,305,462

 

 

 

5,305,462

 

 

 

SSIF NEVADA LP BANK GUARANT 144A VAR

 

1%   14 Apr 2014

 

4,500,000

 

 

 

4,525,196

 

 

 

STRUCTURED ADJUSTABLE RATE MOR SARM 2005 17 3A1

 

2.658898%   25 Aug 2035

 

71,941

 

 

 

65,170

 

 

 

STRUCTURED ASSET MORTGAGE INVE SAMI 2005 AR5 A1

 

5.57%   19 Jul 2035

 

55,488

 

 

 

47,946

 

 

 

STRUCTURED ASSET MORTGAGE INVE SAMI 2005 AR5 A2

 

5.57%   19 Jul 2035

 

102,077

 

 

 

99,624

 

 

 

STRUCTURED ASSET MORTGAGE INVE SAMI 2005 AR5 A3

 

5.57%   19 Jul 2035

 

229,145

 

 

 

225,495

 

 

 

STRUCTURED ASSET MORTGAGE INVE SAMI 2006 AR3 12A1

 

0.4242%   25 May 2036

 

2,685,457

 

 

 

1,770,218

 

 

 

SWAP BARCLAYS BOC

 

SWAP CASH COLLATERAL USD

 

(690,000

)

 

 

(690,000

)

 

 

SWAP DEUTSCHE COC

 

SWAP CASH COLLATERAL USD

 

740,000

 

 

 

740,000

 

 

 

SWAP HSBC BOC

 

SWAP CASH COLLATERAL USD

 

(1,460,000

)

 

 

(1,460,000

)

 

 

SWAP JPM CHASE COC

 

SWAP CASH COLLATERAL USD

 

1,050,000

 

 

 

1,050,000

 

 

 

SWAP UBS COC

 

SWAP CASH COLLATERAL USD

 

360,000

 

 

 

360,000

 

 

 

SWPC060G9 CDS USD P F 

 

1%   20 Mar 2013

 

(4,150,000

)

 

 

(4,150,000

)

 

 

SWPC060G9 CDS USD R V

 

1%   20 Mar 2013

 

4,150,000

 

 

 

4,146,120

 

 

 

SWPC460Q3 CDS USD P F 

 

1%   20 Dec 2016

 

(2,600,000

)

 

 

(2,600,000

)

 

 

SWPC460Q3 CDS USD R V

 

1%   20 Dec 2016

 

2,600,000

 

 

 

2,559,222

 

 

 

SWPC52925 CDS USD P V

 

1%   25 Jul 2045

 

(244,841

)

 

 

(244,841

)

 

 

SWPC52925 CDS USD R F 

 

0.54%   25 Jul 2045

 

244,841

 

 

 

32,393

 

 

 

SWPC87756 CDS USD P V

 

1%   20 Dec 2015

 

(10,700,000

)

 

 

(10,700,000

)

 

 

SWPC87756 CDS USD R F

 

0.4625%   20 Dec 2015

 

10,700,000

 

 

 

10,464,514

 

 

 

SWPC949F8 CDS USD P F

 

1%   20 Dec 2017

 

(5,000,000

)

 

 

(5,000,000

)

 

 

SWPC949F8 CDS USD R V

 

1%   20 Dec 2017

 

5,000,000

 

 

 

5,107,745

 

 

 

SWPC974P4 CDS USD P V

 

1%   20 Jun 2017

 

(1,500,000

)

 

 

(1,500,000

)

 

 

SWPC974P4 CDS USD R F

 

1.28%   20 Jun 2017

 

1,500,000

 

 

 

1,528,094

 

 

 

SWU000LC8 IRS AUD P V 06MBBSW SWUV00LC0 CCP CME

 

1%   15 Mar 2023

 

(1,500,000

)

 

 

(1,557,299

)

 

 

SWU000LC8 IRS AUD R F   CCP CME

 

4%   15 Mar 2023

 

1,500,000

 

 

 

1,577,533

 

 

 

SWU000MW3 IRS AUD P V 06MBBSW SWUV00MW5 CCP CME

 

1%   15 Mar 2018

 

(14,600,000

)

 

 

(15,157,713

)

 

 

SWU000MW3 IRS AUD R F   CCP CME

 

3.75%   15 Mar 2018

 

14,600,000

 

 

 

15,472,842

 

 

 

SWU000YP5 IRS AUD P V 06MBBSW BRC AUD 6MBB

 

1%   15 Mar 2023

 

(10,000,000

)

 

 

(10,381,995

)

 

 

SWU000YP5 IRS AUD R F  3.75000 BRC AUD 6MBB

 

3.75%   15 Mar 2023

 

10,000,000

 

 

 

10,278,089

 

 

 

SWU001FH2 IRS AUD P V 06MBBSW BRC

 

1%   15 Mar 2018

 

(9,200,000

)

 

 

(9,551,436

)

 

 

SWU001FH2 IRS AUD R F 

 

3.5%   15 Mar 2018

 

9,200,000

 

 

 

9,624,284

 

 

 

SWU002JK9 IRS USD P V 03MLIBOR HUS

 

1%   04 Jan 2018

 

(1,700,000

)

 

 

(1,700,000

)

 

 

SWU002JK9 IRS USD R F  1.50000 HUS

 

1.5%   04 Jan 2018

 

1,700,000

 

 

 

1,704,298

 

 

 

SWU023YB8 IRS BRL P V 00MBRCDI

 

1%   02 Jan 2017

 

(600,000

)

 

 

(293,040

)

 

 

SWU023YB8 IRS BRL R F 

 

8.485%   02 Jan 2017

 

600,000

 

 

 

295,088

 

 

 

SWU026Y88 IRS BRL P V 00MBRCDI MYC

 

1%   02 Jan 2015

 

(21,700,000

)

 

 

(10,598,291

)

 

 

SWU026Y88 IRS BRL R F

 

10.605%   02 Jan 2015

 

21,700,000

 

 

 

11,241,914

 

 

 

SWU0307U1 IRS EUR P V 06MEURIB MYC

 

1%   21 Mar 2017

 

(5,800,000

)

 

 

(7,646,721

)

 

 

SWU0307U1 IRS EUR R F

 

2%   21 Mar 2017

 

5,800,000

 

 

 

8,083,755

 

 

 

SWU036C24 IRS BRL P V 00MBZDIO BZDIOVRA

 

1%   02 Jan 2015

 

(3,800,000

)

 

 

(1,855,922

)

 

 

SWU036C24 IRS BRL R F NDFPREDISWAP

 

9.98%   02 Jan 2015

 

3,800,000

 

 

 

1,945,188

 

 

 

SWU036GW4 IRS BRL P V 00MBCRDI UAG

 

1%   02 Jan 2015

 

(1,700,000

)

 

 

(830,281

)

 

133



Table of Contents

 

 

 

SWU036GW4 IRS BRL R F

 

9.93%   02 Jan 2015

 

1,700,000

 

 

 

869,276

 

 

 

SWU036KY5 IRS BRL P F  

 

0%   02 Jan 2014

 

(1,100,000

)

 

 

(537,241

)

 

 

SWU036KY5 IRS BRL R F

 

0%   02 Jan 2014

 

1,100,000

 

 

 

544,320

 

 

 

SWU036QQ6 IRS BRL P V 00MCETIP DUB

 

1%   02 Jan 2015

 

(2,600,000

)

 

 

(1,269,841

)

 

 

SWU036QQ6 IRS BRL R F

 

8.43%   02 Jan 2015

 

2,600,000

 

 

 

1,290,330

 

 

 

SWU036QU7 IRS BRL P V 00MCETIP NDFPREDISWAP

 

1%   02 Jan 2015

 

(15,600,000

)

 

 

(7,619,048

)

 

 

SWU036QU7 IRS BRL R F  NDFPREDISWAP

 

8.44%   02 Jan 2015

 

15,600,000

 

 

 

7,743,444

 

 

 

SWU036VH0 IRS BRL P V 00MCETIP HUS

 

1%   02 Jan 2015

 

(9,100,000

)

 

 

(4,444,444

)

 

 

SWU036VH0 IRS BRL R F

 

8.075%   02 Jan 2015

 

9,100,000

 

 

 

4,482,040

 

 

 

SWU036VX5 IRS BRL P V 00MBRCDI

 

1%   02 Jan 2014

 

(30,600,000

)

 

 

(14,945,055

)

 

 

SWU036VX5 IRS BRL R F

 

7.42%   02 Jan 2014

 

30,600,000

 

 

 

14,992,879

 

 

 

SWU0888P9 IRS AUD P V 06MBBSW BRC

 

1%   15 Dec 2017

 

(4,700,000

)

 

 

(4,879,538

)

 

 

SWU0888P9 IRS AUD R F 

 

5.5%   15 Dec 2017

 

4,700,000

 

 

 

5,377,051

 

 

 

SWU0889P8 IRS AUD P V 06MBBSW DUB

 

1%   15 Dec 2017

 

(3,000,000

)

 

 

(3,114,599

)

 

 

SWU0889P8 IRS AUD R F

 

5.5%   15 Dec 2017

 

3,000,000

 

 

 

3,432,160

 

 

 

SWU09F658 IRS BRL P V 00MCETIP HUS

 

1%   02 Jan 2015

 

(57,100,000

)

 

 

(27,887,668

)

 

 

SWU09F658 IRS BRL R F

 

10.135%   02 Jan 2015

 

57,100,000

 

 

 

29,320,257

 

 

 

SWU09G516 IRS BRL P V 00MBRCDI

 

1%   02 Jan 2017

 

(2,000,000

)

 

 

(976,801

)

 

 

SWU09G516 IRS BRL R F 

 

8.86%   02 Jan 2017

 

2,000,000

 

 

 

995,543

 

 

 

SWU0ANAR6 IRS BRL P V 00MBRCDI MYC

 

1%   02 Jan 2015

 

(8,600,000

)

 

 

(4,200,244

)

 

 

SWU0ANAR6 IRS BRL R F

 

9.93%   02 Jan 2015

 

8,600,000

 

 

 

4,397,567

 

 

 

SWU0TR9A6 IRS BRL P V 00MCEPTI MYC

 

1%   02 Jan 2014

 

(29,700,000

)

 

 

(14,505,495

)

 

 

SWU0TR9A6 IRS BRL R F 

 

7.785%   02 Jan 2014

 

29,700,000

 

 

 

14,613,372

 

 

 

TOBACCO SETTLEMENT FIN AUTH WV TOBGEN FIXED

 

7.467%   01 Jun 2047

 

1,955,000

 

 

 

1,561,615

 

 

 

TOBACCO SETTLEMENT FING CORP N TOBGEN  FIXED OID

 

5%   01 Jun 2041

 

2,300,000

 

 

 

2,083,616

 

 

 

TOLL BROS FINANCE CORP COMPANY GUAR

 

8.91%   15 Oct 2017

 

4,100,000

 

 

 

5,176,947

 

 

 

TREASURY BILL

 

0.01%   07 Feb 2013

 

913,000

 

 

 

912,973

 

 

 

TREASURY BILL

 

0.01%   02 May 2013

 

478,000

 

 

 

477,857

 

 

 

TREASURY BILL

 

0.01%   30 May 2013

 

228,000

 

 

 

227,899

 

 

 

TREASURY BILL

 

0.01%   25 Jul 2013

 

105,000

 

 

 

104,924

 

 

 

TREASURY BILL

 

0.01%   19 Sep 2013

 

231,000

 

 

 

230,783

 

 

 

TREASURY BILL

 

0.01%   17 Oct 2013

 

216,000

 

 

 

215,771

 

 

 

TREASURY BILL

 

0.01%   14 Nov 2013

 

5,000,000

 

 

 

4,993,755

 

 

 

TREASURY BILL

 

0.01%   12 Dec 2013

 

3,900,000

 

 

 

3,894,696

 

 

 

TSY 0 1/8  2024 I/L GILT BONDS

 

0.125%   22 Mar 2024

 

3,849,134

 

 

 

6,808,805

 

 

 

TSY 1 7/8  2022 I/L GILT BONDS

 

2.250281%   22 Nov 2022

 

477,600

 

 

 

998,279

 

 

 

TSY INFL IX N/B

 

1.125%   15 Jan 2021

 

12,160,675

 

 

 

14,283,090

 

 

 

TSY INFL IX N/B

 

0.125%   15 Jan 2022

 

26,777,186

 

 

 

29,078,364

 

 

 

TSY INFL IX N/B

 

0.125%   15 Apr 2017

 

5,397,732

 

 

 

5,780,210

 

 

 

TSY INFL IX N/B

 

1.25%   15 Jul 2020

 

1,060,690

 

 

 

1,258,244

 

 

 

TSY INFL IX N/B

 

0.125%   15 Jul 2022

 

10,159,590

 

 

 

11,028,712

 

 

 

UAL 1993 PASS TRUST PASS THRU CE

 

0.02561%   17 Jun 2015

 

1,299,376

 

 

 

6,497

 

 

 

UAL 1995 PASS TRUST PASS THRU CE

 

9.56%   19 Oct 2018

 

870,864

 

 

 

252,551

 

 

 

UBS AG STAMFORD CT NOTES

 

4.875%   04 Aug 2020

 

500,000

 

 

 

580,985

 

 

 

US DOLLAR

 

 

 

(3,437,972

)

 

 

(3,437,972

)

 

 

US TREASURY N/B

 

2%   15 Feb 2022

 

3,400,000

 

 

 

3,516,079

 

 

 

US TREASURY N/B

 

1.25%   15 Mar 2014

 

17,700,000

 

 

 

17,919,869

 

 

 

US TREASURY N/B

 

1.875%   15 May 2022

 

28,400,000

 

 

 

28,646,285

 

 

 

US TREASURY N/B

 

3%   15 May 2042

 

8,500,000

 

 

 

8,659,375

 

 

 

US TREASURY N/B

 

0.5%   31 Jul 2017

 

600,000

 

 

 

596,390

 

 

 

US TREASURY N/B

 

2.625%   15 Aug 2020

 

3,400,000

 

 

 

3,733,625

 

 

 

US TREASURY N/B

 

2.5%   15 Aug 2021

 

17,500,000

 

 

 

18,396,875

 

 

 

US TREASURY N/B

 

8.125%   15 Aug 2021

 

700,000

 

 

 

1,081,664

 

 

 

US TREASURY N/B

 

1.625%   15 Aug 2022

 

15,200,000

 

 

 

15,100,258

 

 

 

US TREASURY N/B

 

6.25%   15 Aug 2023

 

1,100,000

 

 

 

1,577,125

 

 

 

US TREASURY N/B

 

3.875%   15 Aug 2040

 

6,800,000

 

 

 

8,172,750

 

 

 

US TREASURY N/B

 

2%   15 Nov 2021

 

61,800,000

 

 

 

64,141,664

 

 

 

US TREASURY N/B

 

2.75%   15 Nov 2042

 

6,500,000

 

 

 

6,262,347

 

 

 

US TREASURY N/B

 

0.75%   15 Dec 2013

 

14,000

 

 

 

14,074

 

 

 

VOLKSWAGEN INTL FIN NV COMPANY GUAR 144A VAR

 

1.06%   21 Mar 2014

 

1,200,000

 

 

 

1,206,394

 

 

 

VOLKSWAGEN INTL FIN NV COMPANY GUAR 144A VAR

 

1.07815%   01 Apr 2014

 

2,400,000

 

 

 

2,407,738

 

 

 

VOLKSWAGEN INTL FIN NV COMPANY GUAR 144A VAR

 

0.91%   22 Sep 2013

 

500,000

 

 

 

501,905

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR13 A1A1

 

0.4942%   25 Oct 2045

 

1,309,055

 

 

 

1,242,744

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2006 AR9 2A

 

2.776%   25 Aug 2046

 

2,351,148

 

 

 

2,115,372

 

 

 

WELLS FARGO + COMPANY

 

PREFERRED STOCK 7.5

 

13,000

 

 

 

15,925,000

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2004 X 1A1

 

2.6649%   25 Nov 2034

 

866,643

 

 

 

877,570

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2006 AR8 2A4

 

2.7214%   25 Apr 2036

 

633,125

 

 

 

585,754

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5711 2 of 15

 

 

 

 

 

$

978,579,313

 

 

134



Table of Contents

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

249,778

 

 

 

$

249,778

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5712 3 of 15

 

 

 

 

 

$

249,778

 

 

 

 

 

 

 

 

 

 

 

 

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

270,626,442

 

 

 

$

270,626,442

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5725 4 of 15

 

 

 

 

 

$

270,626,442

 

 

 

 

 

 

 

 

 

 

 

 

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

0WP059058 CDS USD P F

 

0% 20 Sep 2017

 

(300,000

)

 

 

$

(300,000

)

 

 

0WP059058 CDS USD R F

 

3.77% 20 Sep 2017

 

300,000

 

 

 

331,451

 

 

 

0WP059777 CDS USD P V

 

1% 20 Sep 2017

 

(300,000

)

 

 

(300,000

)

 

 

0WP059777 CDS USD R F

 

3.95% 20 Sep 2017

 

300,000

 

 

 

333,865

 

 

 

0WP060353 CDS USD P V 00MEVENT FORD MOTOR CREDIT COMPANY LLC

 

1% 20 Sep 2017

 

(440,000

)

 

 

(440,000

)

 

 

0WP060353 CDS USD R F FORD MOTOR CREDIT COMPANY LLC

 

4.28% 20 Sep 2017

 

440,000

 

 

 

496,159

 

 

 

0WP240690 TRS USD P V 01MLIBOR USD-LIBOR-BBA BPS

 

1% 12 Jan 2041

 

(7,474,711

)

 

 

(7,474,711

)

 

 

0WP240690 TRS USD R F IOS.FN30.400.10/4A854IAB7

 

0% 12 Jan 2041

 

7,474,711

 

 

 

7,476,365

 

 

 

0WP246614 CDS USD P F 2 CDX

 

5% 20 Dec 2017

 

(5,600,000

)

 

 

(5,617,097

)

 

 

0WP246614 CDS USD R V 03MEVENT 1 CDX

 

1% 20 Dec 2017

 

5,600,000

 

 

 

5,600,000

 

 

 

10YR US TREASURY NOTE FTR OPTN

 

FEB13 133.5 CALL

 

215,000

 

 

 

63,828

 

 

 

10YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

(104,000,000

)

 

 

482,602

 

 

 

2YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

21,800,000

 

 

 

4,406

 

 

 

30YR US TREASURY BOND FUTURE

 

MAR13 XCBT

 

(47,200,000

)

 

 

640,156

 

 

 

30YR US TREASURY NOTE FTR OPTN

 

FEB13 152 CALL

 

89,000

 

 

 

15,297

 

 

 

5YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

(10,600,000

)

 

 

(7,023

)

 

 

90DAY EURODOLLAR FUTURES CME

 

JUN13 XCME

 

60,500,000

 

 

 

13,700

 

 

 

90DAY EURODOLLAR FUTURES CME

 

JUN14 XCME

 

(60,500,000

)

 

 

(13,188

)

 

 

ABBVIE INC COMPANY GUAR 144A

 

1.75% 06 Nov 2017

 

2,110,000

 

 

 

2,132,950

 

 

 

ABBVIE INC SR UNSECURED 144A

 

2.9% 06 Nov 2022

 

1,290,000

 

 

 

1,313,710

 

 

 

ACCESS MIDSTREAM PARTNER COMPANY GUAR

 

5.875% 15 Apr 2021

 

1,400,000

 

 

 

1,487,500

 

 

 

ACTAVIS INC SR UNSECURED

 

1.875% 01 Oct 2017

 

550,000

 

 

 

557,232

 

 

 

AES CORPORATION SR UNSECURED

 

8% 01 Jun 2020

 

1,850,000

 

 

 

2,127,500

 

 

 

ALLY FINANCIAL INC COMPANY GUAR

 

8% 15 Mar 2020

 

1,850,000

 

 

 

2,266,250

 

 

 

ALTRIA GROUP INC COMPANY GUAR

 

9.25% 06 Aug 2019

 

2,220,000

 

 

 

3,088,335

 

 

 

ALTRIA GROUP INC COMPANY GUAR

 

2.85% 09 Aug 2022

 

1,450,000

 

 

 

1,434,817

 

 

 

ALTRIA GROUP INC COMPANY GUAR

 

8.5% 10 Nov 2013

 

1,140,000

 

 

 

1,214,628

 

 

 

AMER EXPRESS CREDIT CO SR UNSECURED

 

5.875% 02 May 2013

 

350,000

 

 

 

356,320

 

 

 

AMER EXPRESS CREDIT CO SR UNSECURED

 

5.125% 25 Aug 2014

 

3,360,000

 

 

 

3,599,712

 

 

 

AMERICA MOVIL SAB DE CV COMPANY GUAR

 

5% 30 Mar 2020

 

770,000

 

 

 

895,873

 

 

 

AMERICA MOVIL SAB DE CV COMPANY GUAR

 

5.625% 15 Nov 2017

 

780,000

 

 

 

933,852

 

 

 

AMERICAN EXPRESS CO SUBORDINATED VAR

 

6.8% 01 Sep 2066

 

680,000

 

 

 

730,150

 

 

 

AMERICAN HOME MORTGAGE ASSETS AHMA 2006 2 2A1

 

0.4255% 25 Sep 2046

 

5,127,805

 

 

 

3,273,314

 

 

 

AMERICAN HOME MORTGAGE INVESTM AHM 2005 1 6A

 

2.4474% 25 Jun 2045

 

4,949,882

 

 

 

4,668,709

 

 

 

AMERICAN HOME MORTGAGE INVESTM AHM 2005 4 1A1

 

0.4942% 25 Mar 2035

 

2,417,007

 

 

 

1,952,603

 

 

 

AMERICAN HOME MORTGAGE INVESTM AHM 2005 SD1 1A1 144A

 

1% 25 Sep 2035

 

1,306,093

 

 

 

786,461

 

 

 

AMERICAN HONDA FINANCE UNSECURED 144A

 

1% 11 Aug 2015

 

1,760,000

 

 

 

1,769,921

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

5.85% 16 Jan 2018

 

1,590,000

 

 

 

1,879,693

 

 

 

AMERICAN INTL GROUP SR UNSECURED 144A

 

3.75% 30 Nov 2013

 

800,000

 

 

 

820,655

 

 

 

AMORTIZING RESIDENTIAL COLLATE ARC 2002 BC1M A

 

1% 01 Jan 2032

 

83,376

 

 

 

63,228

 

 

 

AMORTIZING RESIDENTIAL COLLATE ARC 2002 BC5 M1

 

1.2392% 25 Jul 2032

 

294,149

 

 

 

243,859

 

 

 

AMRESCO RESIDENTIAL SECURITIES AMRES 1997 3 M1A

 

0.7715% 25 Sep 2027

 

76,141

 

 

 

69,802

 

 

 

ANADARKO FINANCE CO COMPANY GUAR

 

7.5% 01 May 2031

 

230,000

 

 

 

304,305

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

6.375% 15 Sep 2017

 

1,220,000

 

 

 

1,457,284

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

5.375% 15 Jan 2020

 

2,000,000

 

 

 

2,434,068

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

5% 15 Apr 2020

 

940,000

 

 

 

1,124,870

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

2.5% 15 Jul 2022

 

1,380,000

 

 

 

1,388,639

 

 

 

ANZ NEW ZEALAND INTL/LDN BANK GUARANT 144A

 

1.85% 15 Oct 2015

 

880,000

 

 

 

896,650

 

 

 

APACHE CORP SR UNSECURED

 

4.75% 15 Apr 2043

 

220,000

 

 

 

239,494

 

 

 

APACHE CORP SR UNSECURED

 

6% 15 Sep 2013

 

1,510,000

 

 

 

1,567,391

 

 

 

APACHE CORP SR UNSECURED

 

5.1% 01 Sep 2040

 

940,000

 

 

 

1,068,537

 

 

 

ARCELORMITTAL SR UNSECURED

 

5% 25 Feb 2017

 

490,000

 

 

 

494,604

 

 

 

ARCH COAL INC COMPANY GUAR

 

7% 15 Jun 2019

 

1,680,000

 

 

 

1,562,400

 

 

 

ARCH COAL INC COMPANY GUAR

 

7.25% 15 Jun 2021

 

1,250,000

 

 

 

1,153,125

 

 

 

ASIF GLOBAL FINANCNG XIX SR SECURED 144A

 

4.9% 17 Jan 2013

 

110,000

 

 

 

110,155

 

 

 

AT+T INC SR UNSECURED

 

5.5% 01 Feb 2018

 

2,330,000

 

 

 

2,775,708

 

 

 

AT+T INC SR UNSECURED

 

6.55% 15 Feb 2039

 

1,970,000

 

 

 

2,588,803

 

 

 

AT+T INC SR UNSECURED

 

5.6% 15 May 2018

 

110,000

 

 

 

132,690

 

 

135



Table of Contents

 

 

 

AT+T INC SR UNSECURED

 

3.875% 15 Aug 2021

 

150,000

 

 

 

167,176

 

 

 

AT+T INC SR UNSECURED

 

5.55% 15 Aug 2041

 

850,000

 

 

 

1,020,105

 

 

 

AT+T INC SR UNSECURED

 

5.1% 15 Sep 2014

 

780,000

 

 

 

837,875

 

 

 

AT+T INC SR UNSECURED

 

2.625% 01 Dec 2022

 

950,000

 

 

 

951,563

 

 

 

AT+T INC SR UNSECURED 144A

 

4.35% 15 Jun 2045

 

63,000

 

 

 

63,283

 

 

 

AVIS BUDGET RENTAL CAR FUNDING AESOP 2010 5A A 144A

 

3.15% 20 Mar 2016

 

690,000

 

 

 

729,743

 

 

 

AVIS BUDGET RENTAL CAR FUNDING AESOP 2012 2A A 144A

 

2.795% 20 May 2018

 

875,000

 

 

 

922,700

 

 

 

AVIS BUDGET RENTAL CAR FUNDING AESOP 2012 3A A 144A

 

2.1% 20 Mar 2019

 

700,000

 

 

 

714,062

 

 

 

BAKER HUGHES INC SR UNSECURED

 

7.5% 15 Nov 2018

 

1,650,000

 

 

 

2,185,839

 

 

 

BALL CORP COMPANY GUAR

 

5.75% 15 May 2021

 

890,000

 

 

 

963,425

 

 

 

BALL CORP COMPANY GUAR

 

6.75% 15 Sep 2020

 

1,240,000

 

 

 

1,367,100

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2006 4 A4

 

5.634% 10 Jul 2046

 

1,500,000

 

 

 

1,716,047

 

 

 

BANC OF AMERICA FUNDING CORPOR BAFC 2005 F 2A1

 

3.065693% 20 Sep 2035

 

404,088

 

 

 

293,824

 

 

 

BANC OF AMERICA MORTGAGE SECUR BOAMS 2005 L 1A1

 

2.82988% 25 Jan 2036

 

1,071,218

 

 

 

812,041

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

3.875% 22 Mar 2017

 

510,000

 

 

 

553,106

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

4.5% 01 Apr 2015

 

3,290,000

 

 

 

3,506,897

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

5% 13 May 2021

 

2,630,000

 

 

 

3,002,545

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

7.625% 01 Jun 2019

 

830,000

 

 

 

1,062,044

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

5.625% 01 Jul 2020

 

970,000

 

 

 

1,150,058

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

6.5% 01 Aug 2016

 

1,590,000

 

 

 

1,836,067

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

5.75% 01 Dec 2017

 

430,000

 

 

 

501,206

 

 

 

BANK OF AMERICA CORP SUBORDINATED

 

5.42% 15 Mar 2017

 

1,100,000

 

 

 

1,204,898

 

 

 

BARCLAYS BANK PLC SUBORDINATED 144A

 

10.179% 12 Jun 2021

 

120,000

 

 

 

163,370

 

 

 

BARCLAYS BANK PLC SUBORDINATED 144A

 

6.05% 04 Dec 2017

 

650,000

 

 

 

719,152

 

 

 

BARRICK GOLD CORP SR UNSECURED

 

6.95% 01 Apr 2019

 

570,000

 

 

 

709,208

 

 

 

BARRICK NA FINANCE LLC COMPANY GUAR

 

4.4% 30 May 2021

 

2,450,000

 

 

 

2,686,763

 

 

 

BAYVIEW FINANCIAL ACQUISITION BAYV 2004 C A1

 

0.89063% 28 May 2044

 

690,029

 

 

 

679,909

 

 

 

BBVA US SENIOR SA UNIPER BANK GUARANT

 

3.25% 16 May 2014

 

2,220,000

 

 

 

2,221,982

 

 

 

BBVA US SENIOR SA UNIPER BANK GUARANT

 

4.664% 09 Oct 2015

 

2,270,000

 

 

 

2,327,470

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2004 10 15A1

 

2.730214% 25 Jan 2035

 

374,363

 

 

 

367,445

 

 

 

BEAR STEARNS ALT A TRUST BALTA 2004 5 4A1

 

3.5% 25 Jun 2034

 

966,754

 

 

 

963,559

 

 

 

BEAR STEARNS COS LLC SR UNSECURED

 

6.4% 02 Oct 2017

 

580,000

 

 

 

696,579

 

 

 

BEAR STEARNS MORTGAGE FUNDING BSMF 2006 AR5 1A1

 

0.3642% 25 Dec 2046

 

5,706,586

 

 

 

3,561,298

 

 

 

BERKSHIRE HATHAWAY INC SR UNSECURED

 

3.2% 11 Feb 2015

 

840,000

 

 

 

884,338

 

 

 

BHP BILLITON FIN USA LTD COMPANY GUAR

 

6.5% 01 Apr 2019

 

2,140,000

 

 

 

2,729,142

 

 

 

BHP BILLITON FIN USA LTD COMPANY GUAR

 

3.25% 21 Nov 2021

 

1,180,000

 

 

 

1,269,979

 

 

 

BK TOKYO MITSUBISHI UFJ SR UNSECURED 144A

 

3.85% 22 Jan 2015

 

840,000

 

 

 

887,618

 

 

 

BNP PARIBAS SR UNSECURED

 

2.375% 14 Sep 2017

 

1,280,000

 

 

 

1,298,364

 

 

 

BOEING CAPITAL CORP SR UNSECURED

 

4.7% 27 Oct 2019

 

740,000

 

 

 

873,116

 

 

 

BOEING CO SR UNSECURED

 

4.875% 15 Feb 2020

 

480,000

 

 

 

578,312

 

 

 

BOEING CO SR UNSECURED

 

6% 15 Mar 2019

 

780,000

 

 

 

971,558

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.875% 10 Mar 2015

 

790,000

 

 

 

841,627

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.245% 06 May 2022

 

1,120,000

 

 

 

1,179,928

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

5.25% 07 Nov 2013

 

2,140,000

 

 

 

2,226,899

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.561% 01 Nov 2021

 

190,000

 

 

 

205,312

 

 

 

BUILDING MATERIALS CORP SENIOR NOTES 144A

 

6.75% 01 May 2021

 

1,000,000

 

 

 

1,105,000

 

 

 

CADBURY SCHWEPPES US FIN COMPANY GUAR 144A

 

5.125% 01 Oct 2013

 

570,000

 

 

 

586,603

 

 

 

CALPINE CORP SR SECURED 144A

 

7.785% 15 Jan 2023

 

1,143,000

 

 

 

1,291,590

 

 

 

CANADIAN IMPERIAL BANK COVERED 144A

 

2% 04 Feb 2013

 

4,050,000

 

 

 

4,055,670

 

 

 

CATERPILLAR FINANCIAL SE SR UNSECURED

 

6.2% 30 Sep 2013

 

2,020,000

 

 

 

2,107,199

 

 

 

CBS CORP COMPANY GUAR

 

7.875% 30 Jul 2030

 

560,000

 

 

 

773,216

 

 

 

CCO HLDGS LLC/CAP CORP COMPANY GUAR

 

7% 15 Jan 2019

 

360,000

 

 

 

388,350

 

 

 

CCO HLDGS LLC/CAP CORP COMPANY GUAR

 

6.625% 31 Jan 2022

 

70,000

 

 

 

76,475

 

 

 

CCO HLDGS LLC/CAP CORP COMPANY GUAR

 

8.125% 30 Apr 2020

 

1,360,000

 

 

 

1,523,200

 

 

 

CDC MORTGAGE CAPITAL TRUST CDCMC 2002 HE1 A

 

4.89063% 25 Jan 2033

 

260,714

 

 

 

223,055

 

 

 

CELLCO PART/VERI WIRELSS SR UNSECURED

 

8.5% 15 Nov 2018

 

1,870,000

 

 

 

2,572,559

 

 

 

CELULOSA ARAUCO CONSTITU SR UNSECURED

 

4.75% 11 Jan 2022

 

940,000

 

 

 

985,973

 

 

 

CGG VERITAS COMPANY GUAR

 

7.75% 15 May 2017

 

1,380,000

 

 

 

1,435,200

 

 

 

CGG VERITAS COMPANY GUAR

 

6.5% 01 Jun 2021

 

230,000

 

 

 

246,100

 

 

 

CHASE FUNDING MORTGAGE LOAN AS CFAB 2002 4 2A1

 

5.3294% 25 Oct 2032

 

285,349

 

 

 

257,840

 

 

 

CHESAPEAKE ENERGY CORP COMPANY GUAR

 

6.775% 15 Mar 2019

 

660,000

 

 

 

660,825

 

 

 

CHESAPEAKE ENERGY CORP COMPANY GUAR

 

6.625% 15 Aug 2020

 

650,000

 

 

 

697,125

 

 

 

CHESAPEAKE ENERGY CORP COMPANY GUAR

 

7.25% 15 Dec 2018

 

140,000

 

 

 

152,600

 

 

 

CITIGROUP CAPITAL XIII

 

PREFERRED STOCK 10/40 VAR

 

10,350

 

 

 

288,144

 

 

 

CITIGROUP INC JR SUBORDINA VAR

 

1% 31 Dec 2049

 

790,000

 

 

 

799,875

 

 

 

CITIGROUP INC JR SUBORDINA VAR

 

1% 31 Dec 2049

 

510,000

 

 

 

514,988

 

 

 

CITIGROUP INC NOTES

 

5.5% 15 Oct 2014

 

500,000

 

 

 

536,421

 

 

 

CITIGROUP INC SR UNSECURED

 

6.01% 15 Jan 2015

 

2,020,000

 

 

 

2,207,284

 

 

 

CITIGROUP INC SR UNSECURED

 

6.875% 05 Mar 2038

 

1,150,000

 

 

 

1,513,926

 

 

 

CITIGROUP INC SR UNSECURED

 

5.125% 05 May 2014

 

75,000

 

 

 

79,009

 

 

 

CITIGROUP INC SR UNSECURED

 

6.375% 12 Aug 2014

 

290,000

 

 

 

313,389

 

 

 

CITIGROUP INC SR UNSECURED

 

6% 15 Aug 2017

 

840,000

 

 

 

989,643

 

 

 

CITIGROUP INC SR UNSECURED

 

6% 13 Dec 2013

 

3,180,000

 

 

 

3,332,204

 

 

 

CITIGROUP INC SUBORDINATED

 

5.5% 15 Feb 2017

 

790,000

 

 

 

875,741

 

 

 

CITIGROUP INC SUBORDINATED

 

5% 15 Sep 2014

 

3,440,000

 

 

 

3,619,183

 

 

 

CITIGROUP MORTGAGE LOAN TRUST CMLTI 2003 HE3 A

 

0.6188% 25 Dec 2033

 

177,845

 

 

 

162,089

 

 

 

CLIFFS NATURAL RESOURCES SR UNSECURED

 

3.95% 15 Jan 2018

 

1,300,000

 

 

 

1,308,428

 

 

 

CLIFFS NATURAL RESOURCES SR UNSECURED

 

4.875% 01 Apr 2021

 

210,000

 

 

 

208,564

 

 

 

CLIFFS NATURAL RESOURCES SR UNSECURED

 

4.8% 01 Oct 2020

 

460,000

 

 

 

457,148

 

 

 

COBALT CMBS COMMERCIAL MORTGAG CWCI 2007 C2 A3

 

5.484% 15 Apr 2047

 

895,000

 

 

 

1,037,557

 

 

136



Table of Contents

 

 

 

CODELCO INC SR UNSECURED 144A

 

4.75%   15 Oct 2014

 

590,000

 

 

 

625,746

 

 

 

COMCAST CORP COMPANY GUAR

 

6.5%   15 Jan 2015

 

505,000

 

 

 

562,710

 

 

 

COMCAST CORP COMPANY GUAR

 

6.5%   15 Jan 2017

 

260,000

 

 

 

313,571

 

 

 

COMCAST CORP COMPANY GUAR

 

6.4%   01 Mar 2040

 

540,000

 

 

 

699,474

 

 

 

COMCAST CORP COMPANY GUAR

 

5.7%   15 May 2018

 

1,920,000

 

 

 

2,308,349

 

 

 

COMCAST CORP COMPANY GUAR

 

5.65%   15 Jun 2035

 

320,000

 

 

 

375,467

 

 

 

COMCAST CORP COMPANY GUAR

 

6.95%   15 Aug 2037

 

140,000

 

 

 

189,849

 

 

 

COMMONWEALTH BANK AUST SR UNSECURED 144A

 

3.75%   15 Oct 2014

 

1,130,000

 

 

 

1,187,969

 

 

 

COMMONWEALTH BANK AUST SR UNSECURED 144A

 

5%   15 Oct 2019

 

550,000

 

 

 

639,156

 

 

 

COMMONWEALTH BK AUSTR NY SR UNSECURED

 

1.25%   18 Sep 2015

 

2,090,000

 

 

 

2,112,835

 

 

 

CONCHO RESOURCES INC COMPANY GUAR

 

6.5%   15 Jan 2022

 

684,000

 

 

 

752,400

 

 

 

CONCHO RESOURCES INC COMPANY GUAR

 

5.5%   01 Oct 2022

 

260,000

 

 

 

274,300

 

 

 

CONOCOPHILLIPS COMPANY GUAR

 

6%   15 Jan 2020

 

1,980,000

 

 

 

2,512,681

 

 

 

CONSOL ENERGY INC COMPANY GUAR

 

6.375%   01 Mar 2021

 

1,120,000

 

 

 

1,148,000

 

 

 

CONTL AIRLINES 1998 1 PASS THRU CE

 

6.648%   15 Mar 2019

 

635,364

 

 

 

680,602

 

 

 

CONTL AIRLINES 2001 1 PASS THRU CE

 

6.703%   15 Dec 2022

 

688,166

 

 

 

748,381

 

 

 

CONTL AIRLINES 2007 1 PASS THRU CE

 

5.983%   19 Oct 2023

 

1,851,805

 

 

 

2,062,355

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2004 33 1A1

 

2.84997%   25 Dec 2034

 

287,520

 

 

 

267,820

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2004 33 2A1

 

3.134%   25 Dec 2034

 

257,111

 

 

 

236,496

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2005 24 4A1

 

0.4375%   20 Jul 2035

 

1,944,141

 

 

 

1,511,331

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2005 72 A1

 

0.4558%   25 Jan 2036

 

1,046,941

 

 

 

834,549

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2006 OA1 2A1

 

0.65688%   20 Mar 2046

 

476,560

 

 

 

315,446

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2007 AL1 A1

 

5.57%   25 Jun 2037

 

1,841,599

 

 

 

883,864

 

 

 

COUNTRYWIDE ASSET BACKED CERTI CWL 2007 13 2A1

 

1%   25 Oct 2047

 

3,761,807

 

 

 

2,733,129

 

 

 

COUNTRYWIDE FINL CORP SUBORDINATED

 

6.25%   15 May 2016

 

1,250,000

 

 

 

1,372,134

 

 

 

COUNTRYWIDE HOME EQUITY LOAN T CWHEL 2002 F A

 

1%   15 Nov 2028

 

1,278

 

 

 

1,277

 

 

 

COUNTRYWIDE HOME LOANS CWHL 2005 R3 AF 144A

 

4.23%   25 Sep 2035

 

4,745,039

 

 

 

3,983,593

 

 

 

COX COMMUNICATIONS INC SR UNSECURED

 

5.45%   15 Dec 2014

 

218,000

 

 

 

237,748

 

 

 

CREDIT AGRICOLE LONDON SR UNSECURED 144A

 

2.625%   21 Jan 2014

 

700,000

 

 

 

709,124

 

 

 

CREDIT AGRICOLE SA JR SUBORDINA 144A 10/49 VAR

 

1%   31 Dec 2049

 

2,720,000

 

 

 

2,883,200

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2006 C4 A3

 

5.467%   15 Sep 2039

 

800,000

 

 

 

908,254

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2007 C1 A3

 

5.383%   15 Feb 2040

 

6,000,000

 

 

 

6,659,112

 

 

 

CSC HOLDINGS LLC SR UNSECURED

 

8.625%   15 Feb 2019

 

125,000

 

 

 

149,375

 

 

 

CURRENCY CONTRACT

 

BUYBRL/SELLUSD

 

 

 

 

 

17,576

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(61,104

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(279,716

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

(240,319

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLJPY

 

 

 

 

 

947,391

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(712,638

)

 

 

CVS CAREMARK CORP SR UNSECURED

 

2.75%   01 Dec 2022

 

2,980,000

 

 

 

2,991,089

 

 

 

CVS PASS THROUGH TRUST PASS THRU CE

 

6.036%   10 Dec 2028

 

1,059,957

 

 

 

1,239,376

 

 

 

DAIMLER FINANCE NA LLC COMPANY GUAR 144A

 

1.3%   31 Jul 2015

 

790,000

 

 

 

794,586

 

 

 

DAIMLER FINANCE NA LLC COMPANY GUAR 144A

 

2.625%   15 Sep 2016

 

2,050,000

 

 

 

2,129,975

 

 

 

DELTA AIR LINES 2007 1 A PASS THRU CE

 

6.821%   10 Aug 2022

 

667,113

 

 

 

744,632

 

 

 

DEUTSCHE MORTGAGE SECURITIES, DMSI 2004 4 7AR2

 

0.6542%   25 Jun 2034

 

727,942

 

 

 

651,836

 

 

 

DEUTSCHE TELEKOM INT FIN COMPANY GUAR

 

5.75%   23 Mar 2016

 

960,000

 

 

 

1,093,838

 

 

 

DEVON ENERGY CORPORATION SR UNSECURED

 

3.25%   15 May 2022

 

370,000

 

 

 

386,166

 

 

 

DEVON ENERGY CORPORATION SR UNSECURED

 

5.6%   15 Jul 2041

 

2,310,000

 

 

 

2,743,927

 

 

 

DIAGEO CAPITAL PLC COMPANY GUAR

 

4.828%   15 Jul 2020

 

3,140,000

 

 

 

3,696,606

 

 

 

DISH DBS CORP COMPANY GUAR

 

7.125%   01 Feb 2016

 

1,780,000

 

 

 

1,993,600

 

 

 

DISH DBS CORP COMPANY GUAR

 

7.75%   31 May 2015

 

165,000

 

 

 

184,594

 

 

 

DISH DBS CORP COMPANY GUAR

 

7.875%   01 Sep 2019

 

545,000

 

 

 

645,825

 

 

 

DOMINION RESOURCES INC SR UNSECURED

 

8.875%   15 Jan 2019

 

1,510,000

 

 

 

2,066,710

 

 

 

DUKE ENERGY CAROLINAS 1ST MORTGAGE

 

5.3%   15 Feb 2040

 

1,390,000

 

 

 

1,668,101

 

 

 

EATON CORP COMPANY GUAR 144A

 

1.5%   02 Nov 2017

 

740,000

 

 

 

741,512

 

 

 

EATON CORP COMPANY GUAR 144A

 

2.75%   02 Nov 2022

 

2,170,000

 

 

 

2,163,303

 

 

 

EATON CORP COMPANY GUAR 144A

 

4.15%   02 Nov 2042

 

770,000

 

 

 

778,703

 

 

 

ECOLAB INC SR UNSECURED

 

4.35%   08 Dec 2021

 

520,000

 

 

 

580,414

 

 

 

EFS VOLUNTEER NO 2 LLC EFSV2 2012 1 A2 144A

 

1.58875%   25 Mar 2036

 

1,400,000

 

 

 

1,449,077

 

 

 

EFS VOLUNTEER NO 3 LLC EFSV3 2012 1 A3 144A

 

1.24%   25 Apr 2033

 

220,000

 

 

 

224,158

 

 

 

EL PASO LLC COMPANY GUAR

 

7.75%   15 Jan 2032

 

356,000

 

 

 

418,298

 

 

 

EL PASO LLC COMPANY GUAR

 

6.7%   15 Feb 2027

 

650,000

 

 

 

678,438

 

 

 

EL PASO LLC COMPANY GUAR

 

7.8%   01 Aug 2031

 

1,190,000

 

 

 

1,387,483

 

 

 

EL PASO NATURAL GAS SR UNSECURED

 

8.375%   15 Jun 2032

 

1,040,000

 

 

 

1,477,582

 

 

 

EMERALDS 2006 1 O NOTES 144A

 

0.01%   04 Aug 2020

 

9

 

 

 

8

 

 

 

ENERGY FUTURE/EFIH FINAN SR SECURED

 

11.25%   01 Dec 2020

 

3,388,000

 

 

 

3,819,970

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

9.75%   31 Jan 2014

 

2,810,000

 

 

 

3,074,418

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

5.25%   31 Jan 2020

 

50,000

 

 

 

59,414

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR VAR

 

7.034%   15 Jan 2068

 

1,040,000

 

 

 

1,190,800

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

5.95%   01 Feb 2041

 

220,000

 

 

 

265,599

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

6.125%   15 Oct 2039

 

40,000

 

 

 

48,324

 

 

 

EURO CURRENCY

 

 

 

1,465,616

 

 

 

1,932,268

 

 

 

EXPRESS SCRIPTS HOLDING COMPANY GUAR 144A

 

3.5%   15 Nov 2016

 

4,140,000

 

 

 

4,426,343

 

 

 

FANNIE MAE FNR 2004 38 FK

 

0.5542%   25 May 2034

 

906,979

 

 

 

908,707

 

 

 

FANNIE MAE FNR 2007 105 SM

 

6.14125%   25 Nov 2037

 

1,287,130

 

 

 

218,006

 

 

 

FANNIE MAE FNR 2009 101 NS

 

5.92125%   25 Dec 2039

 

927,983

 

 

 

116,781

 

 

 

FANNIE MAE FNR 2010 118 YB

 

6.306%   25 Oct 2040

 

2,104,647

 

 

 

347,103

 

 

 

FANNIE MAE FNR 2010 123 PM

 

4%   25 Jul 2040

 

3,100,000

 

 

 

3,457,690

 

 

 

FANNIE MAE FNR 2010 136 SA

 

5.754751%   25 Dec 2040

 

4,202,769

 

 

 

746,779

 

 

 

FANNIE MAE FNR 2010 142 SM

 

1%   25 Dec 2040

 

927,046

 

 

 

133,673

 

 

137



Table of Contents

 

 

 

FANNIE MAE FNR 2010 150 SN

 

6.29125%   25 Jan 2041

 

756,055

 

 

 

131,503

 

 

 

FANNIE MAE FNR 2010 27 SG

 

4.761248%   25 Apr 2040

 

276,069

 

 

 

26,489

 

 

 

FANNIE MAE FNR 2011 117 LS

 

6.3925%   25 Oct 2040

 

4,023,556

 

 

 

950,384

 

 

 

FANNIE MAE FNR 2011 63 SW

 

6.482%   25 Jul 2041

 

2,649,156

 

 

 

409,471

 

 

 

FANNIE MAE FNR 2011 87 SJ

 

5.706%   25 Sep 2041

 

5,046,239

 

 

 

939,507

 

 

 

FANNIE MAE FNR 2011 96 BS

 

6.19125%   25 May 2041

 

637,647

 

 

 

110,205

 

 

 

FANNIE MAE FNR 2012 134 MS

 

5.942%   25 Dec 2042

 

798,569

 

 

 

239,319

 

 

 

FANNIE MAE FNR 2012 16 ST

 

6.21125%   25 Mar 2042

 

2,640,771

 

 

 

482,593

 

 

 

FANNIE MAE FNR 2012 25 B

 

6.5%   25 Mar 2042

 

3,500,000

 

 

 

4,092,382

 

 

 

FANNIE MAE FNR 2012 28 B

 

6.5%   25 Jun 2039

 

2,100,000

 

 

 

2,336,195

 

 

 

FANNIE MAE FNR 2012 35 MB

 

5.5%   25 Apr 2042

 

12,600,000

 

 

 

14,021,015

 

 

 

FANNIE MAE FNR 2012 46 BA

 

6%   25 May 2042

 

3,400,000

 

 

 

3,800,789

 

 

 

FANNIE MAE FNR 2012 51 B

 

7%   25 May 2042

 

4,853,187

 

 

 

5,707,945

 

 

 

FANNIE MAE FNR 2012 63 DS

 

6.31125%   25 Mar 2039

 

2,242,297

 

 

 

584,205

 

 

 

FANNIE MAE FNR 2012 66 SA

 

5.75%   25 Jun 2042

 

3,374,027

 

 

 

603,484

 

 

 

FANNIE MAE FNR 2012 74 OA

 

0%   25 Mar 2042

 

200,000

 

 

 

187,838

 

 

 

FANNIE MAE FNR 2012 74 SA

 

6.4045%   25 Mar 2042

 

2,300,000

 

 

 

444,444

 

 

 

FANNIE MAE FNR 2012 75 AO

 

0%   25 Mar 2042

 

100,000

 

 

 

93,887

 

 

 

FANNIE MAE FNR 2012 75 AS

 

6.5%   25 Mar 2042

 

700,000

 

 

 

132,268

 

 

 

FANNIE MAE NOTES 11/30 6.625

 

6.625%   15 Nov 2030

 

5,460,000

 

 

 

8,315,602

 

 

 

FANNIE MAE SUB DEBENTUR

 

0%   09 Oct 2019

 

10,540,000

 

 

 

9,233,641

 

 

 

FANNIEMAE STRIP FNS 390 C3

 

6%   25 Jul 2038

 

2,164,098

 

 

 

251,770

 

 

 

FANNIEMAE STRIP FNS 407 22

 

5%   25 Jan 2039

 

151,119

 

 

 

16,501

 

 

 

FANNIEMAE STRIP FNS 407 23

 

5%   25 Jan 2039

 

103,157

 

 

 

10,872

 

 

 

FANNIEMAE STRIP FNS 407 27

 

5.5%   25 Jan 2039

 

56,042

 

 

 

6,915

 

 

 

FANNIEMAE STRIP FNS 407 34

 

5%   25 Jan 2038

 

63,791

 

 

 

7,799

 

 

 

FANNIEMAE STRIP FNS 407 41

 

6%   25 Jan 2038

 

976,417

 

 

 

143,157

 

 

 

FANNIEMAE STRIP FNS 409 C1

 

3%   25 Nov 2026

 

5,311,821

 

 

 

513,492

 

 

 

FANNIEMAE STRIP FNS 409 C13

 

3.5%   25 Nov 2041

 

2,153,793

 

 

 

233,943

 

 

 

FANNIEMAE STRIP FNS 409 C2

 

3%   25 Apr 2027

 

3,294,350

 

 

 

340,032

 

 

 

FED HM LN PC POOL 1G2403

 

5.57%   01 Jan 2038

 

1,189,899

 

 

 

1,264,501

 

 

 

FED HM LN PC POOL 1G2603

 

1%   01 Oct 2036

 

2,498,727

 

 

 

2,676,643

 

 

 

FED HM LN PC POOL 1J1534

 

3.305%   01 Mar 2037

 

2,790,375

 

 

 

2,951,485

 

 

 

FED HM LN PC POOL 1J2919

 

5.846%   01 Aug 2037

 

1,206,816

 

 

 

1,293,066

 

 

 

FED HM LN PC POOL A39586

 

5.5%   01 Nov 2035

 

717,167

 

 

 

778,551

 

 

 

FED HM LN PC POOL A74793

 

5%   01 Mar 2038

 

11,299,347

 

 

 

12,158,782

 

 

 

FED HM LN PC POOL C00860

 

7%   01 Sep 2029

 

5,486

 

 

 

6,535

 

 

 

FED HM LN PC POOL G01737

 

5%   01 Dec 2034

 

39,933

 

 

 

43,170

 

 

 

FED HM LN PC POOL G06172

 

5.5%   01 Dec 2038

 

2,253,328

 

 

 

2,434,224

 

 

 

FED HM LN PC POOL G06669

 

6.5%   01 Sep 2039

 

691,706

 

 

 

786,180

 

 

 

FED HM LN PC POOL G06875

 

5.5%   01 Dec 2038

 

3,258,835

 

 

 

3,541,839

 

 

 

FED HM LN PC POOL G07117

 

6%   01 Oct 2036

 

4,140,291

 

 

 

4,603,996

 

 

 

FED HM LN PC POOL G14492

 

4%   01 Oct 2025

 

683,377

 

 

 

722,685

 

 

 

FED HM LN PC POOL U61703

 

3.5%   01 Oct 2042

 

299,447

 

 

 

325,930

 

 

 

FED HM LN PC POOL U61729

 

3.5%   01 Nov 2042

 

499,284

 

 

 

543,441

 

 

 

FED HM LN PC POOL U61745

 

3.5%   01 Nov 2042

 

99,865

 

 

 

108,697

 

 

 

FED HM LN PC POOL U90316

 

4%   01 Oct 2042

 

398,743

 

 

 

442,752

 

 

 

FHLMC   TBA JAN 15 GOLD SINGLE

 

3.5%   01 Dec 2099

 

600,000

 

 

 

630,750

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K006 AX1

 

1.0638%   25 Jan 2020

 

5,645,000

 

 

 

336,058

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K007 X1

 

0%   25 Apr 2020

 

14,703,159

 

 

 

986,567

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K008 X1

 

1.845327%   25 Jun 2020

 

15,202,132

 

 

 

1,429,867

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K009 X1

 

1.522%   25 Aug 2020

 

5,350,984

 

 

 

441,879

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K015 X1

 

1.681%   25 Jul 2021

 

6,320,937

 

 

 

712,028

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K017 X1

 

1.6088%   25 Dec 2021

 

2,980,290

 

 

 

296,500

 

 

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K702 X1

 

1%   25 Feb 2018

 

21,596,516

 

 

 

1,472,494

 

 

 

FICO STRIP PRIN DEBENTURES

 

0%   06 Apr 2018

 

1,390,000

 

 

 

1,306,522

 

 

 

FICO STRIP PRIN DEBENTURES

 

0%   11 May 2018

 

1,720,000

 

 

 

1,612,653

 

 

 

FICO STRIP PRIN DEBENTURES

 

0%   03 Aug 2018

 

1,640,000

 

 

 

1,523,960

 

 

 

FICO STRIP PRIN DEBENTURES

 

0%   26 Sep 2019

 

90,000

 

 

 

80,894

 

 

 

FICO STRIP PRIN DEBENTURES

 

0%   02 Nov 2018

 

1,620,000

 

 

 

1,500,893

 

 

 

FICO STRIP PRN 6 DEBENTURES

 

0%   03 Aug 2018

 

740,000

 

 

 

687,641

 

 

 

FICO STRIP PRN 7 DEBENTURES

 

0%   03 Aug 2018

 

1,330,000

 

 

 

1,235,895

 

 

 

FICO STRIP PRN 8 DEBENTURES

 

0%   03 Aug 2018

 

700,000

 

 

 

650,471

 

 

 

FICO STRIP PRN11 DEBENTURES

 

0.01%   08 Feb 2018

 

450,000

 

 

 

422,526

 

 

 

FICO STRIP PRN15 DEBENTURES

 

0%   07 Mar 2019

 

3,230,000

 

 

 

2,960,369

 

 

 

FICO STRIP PRN19 DEBENTURES

 

0%   06 Jun 2019

 

220,000

 

 

 

200,449

 

 

 

FIRST HORIZON ALTERNATIVE MORT FHAMS 2006 FA8 1A8

 

0.5742%   25 Feb 2037

 

505,719

 

 

 

309,930

 

 

 

FIRSTENERGY CORP SR UNSECURED

 

7.375%   15 Nov 2031

 

2,660,000

 

 

 

3,435,616

 

 

 

FNMA CONV 15YR TBA

 

2.5%   01 Dec 2099

 

4,500,000

 

 

 

4,705,313

 

 

 

FNMA CONV. 30YR

 

2.5%   01 Dec 2099

 

6,100,000

 

 

 

6,216,281

 

 

 

FNMA POOL 555743

 

5%   01 Sep 2033

 

669,807

 

 

 

729,753

 

 

 

FNMA POOL 254793

 

5%   01 Jul 2033

 

562,290

 

 

 

612,614

 

 

 

FNMA POOL 313046

 

9%   01 Aug 2026

 

11,738

 

 

 

14,487

 

 

 

FNMA POOL 535460

 

8%   01 Sep 2015

 

5,951

 

 

 

6,314

 

 

 

FNMA POOL 542564

 

8%   01 Aug 2015

 

7,624

 

 

 

7,733

 

 

 

FNMA POOL 631364

 

5.5%   01 Feb 2017

 

3,550

 

 

 

3,812

 

 

 

FNMA POOL 725162

 

6%   01 Feb 2034

 

55,400

 

 

 

61,882

 

 

 

FNMA POOL 745000

 

6%   01 Oct 2035

 

118,395

 

 

 

131,154

 

 

 

FNMA POOL 880622

 

5.5%   01 Apr 2036

 

3,007,668

 

 

 

3,271,679

 

 

 

FNMA POOL 888160

 

1%   01 Feb 2037

 

1,073,238

 

 

 

1,147,414

 

 

138



Table of Contents

 

 

 

FNMA POOL 888560

 

6%   01 Nov 2035

 

681,759

 

 

 

761,523

 

 

 

FNMA POOL 889117

 

5%   01 Oct 2035

 

1,886,955

 

 

 

2,055,834

 

 

 

FNMA POOL 890248

 

6%   01 Jul 2040

 

1,383,809

 

 

 

1,549,246

 

 

 

FNMA POOL 892570

 

6.5%   01 Jul 2036

 

269,521

 

 

 

303,897

 

 

 

FNMA POOL 892988

 

6.5%   01 Sep 2036

 

187,585

 

 

 

210,553

 

 

 

FNMA POOL 894044

 

6.5%   01 Oct 2036

 

141,065

 

 

 

158,021

 

 

 

FNMA POOL 898835

 

6.5%   01 Nov 2036

 

194,295

 

 

 

230,711

 

 

 

FNMA POOL 903858

 

6.5%   01 Oct 2036

 

39,465

 

 

 

46,862

 

 

 

FNMA POOL 904000

 

6%   01 Jan 2037

 

725,829

 

 

 

808,754

 

 

 

FNMA POOL 918357

 

6%   01 May 2037

 

1,508,875

 

 

 

1,684,939

 

 

 

FNMA POOL 922285

 

6.5%   01 Dec 2036

 

378,783

 

 

 

449,777

 

 

 

FNMA POOL 924874

 

7%   01 Oct 2037

 

14,159

 

 

 

16,852

 

 

 

FNMA POOL 928938

 

7%   01 Dec 2037

 

13,646

 

 

 

16,241

 

 

 

FNMA POOL 934648

 

7%   01 Nov 2038

 

51,999

 

 

 

61,954

 

 

 

FNMA POOL 939416

 

5.705%   01 May 2037

 

2,790,815

 

 

 

2,965,871

 

 

 

FNMA POOL 942478

 

6%   01 Aug 2037

 

671,397

 

 

 

749,740

 

 

 

FNMA POOL 944510

 

5.706%   01 Jul 2037

 

945,029

 

 

 

1,011,023

 

 

 

FNMA POOL 946208

 

6.5%   01 Aug 2037

 

185,672

 

 

 

208,083

 

 

 

FNMA POOL 946585

 

6.5%   01 Sep 2037

 

234,854

 

 

 

262,508

 

 

 

FNMA POOL 948696

 

6%   01 Aug 2037

 

1,365,301

 

 

 

1,499,653

 

 

 

FNMA POOL 950189

 

6.5%   01 Sep 2037

 

375,480

 

 

 

421,018

 

 

 

FNMA POOL 952445

 

4.5%   01 Sep 2037

 

279,642

 

 

 

302,171

 

 

 

FNMA POOL 974963

 

4.5%   01 Apr 2038

 

1,338,108

 

 

 

1,445,912

 

 

 

FNMA POOL 984867

 

5%   01 Jun 2038

 

226,497

 

 

 

249,529

 

 

 

FNMA POOL 985626

 

6%   01 Apr 2033

 

282,738

 

 

 

315,817

 

 

 

FNMA POOL 985867

 

7%   01 Aug 2038

 

11,144

 

 

 

13,278

 

 

 

FNMA POOL 995072

 

5.5%   01 Nov 2038

 

1,434,511

 

 

 

1,586,880

 

 

 

FNMA POOL AB3517

 

4.5%   01 Sep 2041

 

1,333,092

 

 

 

1,461,488

 

 

 

FNMA POOL AB3745

 

4%   01 Oct 2041

 

3,324,999

 

 

 

3,568,959

 

 

 

FNMA POOL AB6201

 

3%   01 Sep 2042

 

1,480,268

 

 

 

1,561,522

 

 

 

FNMA POOL AB7130

 

3.5%   01 Dec 2042

 

399,284

 

 

 

433,895

 

 

 

FNMA POOL AD0217

 

6%   01 Aug 2037

 

79,564

 

 

 

89,080

 

 

 

FNMA POOL AE0758

 

7%   01 Feb 2039

 

3,470,823

 

 

 

4,131,082

 

 

 

FNMA POOL AJ5304

 

4%   01 Nov 2041

 

6,576,820

 

 

 

7,059,369

 

 

 

FNMA POOL AJ7689

 

4%   01 Dec 2041

 

9,256,044

 

 

 

9,935,172

 

 

 

FNMA POOL AK8441

 

4%   01 Apr 2042

 

290,575

 

 

 

323,155

 

 

 

FNMA POOL AL0215

 

4.5%   01 Apr 2041

 

7,931,849

 

 

 

8,709,682

 

 

 

FNMA POOL AL0814

 

6.5%   01 Jun 2040

 

2,603,982

 

 

 

2,921,612

 

 

 

FNMA POOL AL1176

 

6.5%   01 Oct 2039

 

1,621,504

 

 

 

1,820,526

 

 

 

FNMA POOL AL2491

 

6%   01 Oct 2042

 

1,459,577

 

 

 

1,596,041

 

 

 

FNMA POOL AL2688

 

6%   01 Nov 2042

 

3,807,555

 

 

 

4,168,551

 

 

 

FNMA POOL AO0895

 

4%   01 Apr 2042

 

772,326

 

 

 

858,920

 

 

 

FNMA POOL AO2711

 

4%   01 May 2042

 

197,696

 

 

 

219,862

 

 

 

FNMA POOL AO4170

 

4%   01 Jun 2042

 

80,915

 

 

 

89,987

 

 

 

FNMA POOL AO6086

 

4%   01 Jun 2042

 

99,039

 

 

 

110,143

 

 

 

FNMA POOL AO6908

 

4%   01 Jun 2042

 

99,139

 

 

 

110,255

 

 

 

FNMA POOL AO7501

 

4%   01 Jun 2042

 

99,130

 

 

 

110,244

 

 

 

FNMA POOL AO9859

 

4%   01 Jul 2042

 

98,828

 

 

 

109,909

 

 

 

FNMA POOL AP0692

 

4%   01 Jul 2042

 

198,585

 

 

 

220,851

 

 

 

FNMA POOL AP2530

 

4%   01 Aug 2042

 

198,726

 

 

 

221,008

 

 

 

FNMA POOL AP2958

 

4%   01 Aug 2042

 

198,492

 

 

 

220,747

 

 

 

FNMA POOL AP4532

 

4%   01 Sep 2042

 

99,579

 

 

 

110,743

 

 

 

FNMA POOL AP4781

 

3%   01 Sep 2042

 

694,877

 

 

 

733,019

 

 

 

FNMA POOL AP4903

 

4%   01 Sep 2042

 

199,133

 

 

 

221,460

 

 

 

FNMA POOL AP7399

 

4%   01 Sep 2042

 

497,971

 

 

 

553,804

 

 

 

FNMA POOL AP9229

 

4%   01 Oct 2042

 

199,196

 

 

 

221,530

 

 

 

FNMA POOL AP9862

 

4%   01 Oct 2042

 

99,729

 

 

 

110,911

 

 

 

FNMA POOL AQ0100

 

4%   01 Oct 2042

 

99,558

 

 

 

110,720

 

 

 

FNMA POOL AQ1641

 

4%   01 Oct 2042

 

99,640

 

 

 

110,812

 

 

 

FNMA POOL AQ3599

 

4%   01 Nov 2042

 

199,720

 

 

 

222,113

 

 

 

FNMA POOL AQ5137

 

4%   01 Nov 2042

 

99,853

 

 

 

111,049

 

 

 

FNMA POOL AQ5369

 

3.5%   01 Dec 2042

 

499,406

 

 

 

542,696

 

 

 

FNMA POOL AQ6744

 

4%   01 Nov 2042

 

99,855

 

 

 

111,051

 

 

 

FNMA POOL AQ7003

 

4%   01 Dec 2042

 

499,200

 

 

 

555,171

 

 

 

FNMA POOL AQ7082

 

4%   01 Jan 2043

 

500,000

 

 

 

559,186

 

 

 

FNMA POOL AQ7083

 

3.5%   01 Dec 2042

 

500,000

 

 

 

543,341

 

 

 

FNMA POOL AQ7661

 

4%   01 Dec 2042

 

399,490

 

 

 

444,281

 

 

 

FNMA POOL MA0706

 

4.5%   01 Apr 2031

 

965,703

 

 

 

1,049,842

 

 

 

FNMA POOL MA0734

 

4.5%   01 May 2031

 

3,026,614

 

 

 

3,290,314

 

 

 

FNMA POOL MA0776

 

4.5%   01 Jun 2031

 

1,027,261

 

 

 

1,116,764

 

 

 

FNMA POOL MA0913

 

4.5%   01 Nov 2031

 

1,085,110

 

 

 

1,185,078

 

 

 

FNMA POOL MA0939

 

4.5%   01 Dec 2031

 

1,107,498

 

 

 

1,209,528

 

 

 

FNMA POOL MA0968

 

4.5%   01 Dec 2031

 

169,839

 

 

 

185,486

 

 

 

FNMA POOL MA1213

 

3.5%   01 Sep 2042

 

99,495

 

 

 

107,622

 

 

 

FNMA TBA 30YR SINGLE FAMILY JA

 

3.5%   01 Dec 2099

 

7,100,000

 

 

 

7,569,543

 

 

 

FNMA TBA 3PCT JAN 30 SINGLE FA

 

3%   01 Dec 2099

 

63,000,000

 

 

 

66,012,188

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

8.125%   15 Jan 2020

 

230,000

 

 

 

294,717

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

5.75%   01 Feb 2021

 

380,000

 

 

 

437,504

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

12%   15 May 2015

 

1,500,000

 

 

 

1,841,250

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

5.875%   02 Aug 2021

 

200,000

 

 

 

232,908

 

 

139



Table of Contents

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

4.25%   20 Sep 2022

 

310,000

 

 

 

327,789

 

 

 

FREDDIE MAC FHR 2808 FT

 

0.625939%   15 Apr 2033

 

481,548

 

 

 

481,989

 

 

 

FREDDIE MAC FHR 3621 SB

 

5.99125%   15 Jan 2040

 

1,832,662

 

 

 

266,613

 

 

 

FREDDIE MAC FHR 3768 MB

 

4%   15 Dec 2039

 

4,320,919

 

 

 

4,724,454

 

 

 

FREDDIE MAC FHR 4057 SA

 

5.80725%   15 Apr 2039

 

5,376,257

 

 

 

1,165,773

 

 

 

FREDDIE MAC FHR 4063 S

 

5.71%   15 Jun 2042

 

384,794

 

 

 

92,340

 

 

 

FREDDIE MAC FHR 4068 TS

 

5.75%   15 Jun 2042

 

2,933,183

 

 

 

688,494

 

 

 

FREDDIE MAC FHR 4136 SG

 

5.94%   15 Nov 2042

 

1,397,783

 

 

 

418,815

 

 

 

FREDDIE MAC REFERENCE REMIC FHRR R007 ZA

 

6%   15 May 2036

 

3,114,140

 

 

 

3,585,360

 

 

 

FREEPORT MCMORAN C + G SR UNSECURED

 

3.55%   01 Mar 2022

 

2,330,000

 

 

 

2,310,838

 

 

 

FRESENIUS MED CARE US COMPANY GUAR

 

6.875%   15 Jul 2017

 

340,000

 

 

 

387,600

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

4.625%   07 Jan 2021

 

1,700,000

 

 

 

1,928,303

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

6.875%   10 Jan 2039

 

2,980,000

 

 

 

4,050,711

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

1.625%   02 Jul 2015

 

2,900,000

 

 

 

2,948,123

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

6%   07 Aug 2019

 

30,000

 

 

 

36,497

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

4.375%   16 Sep 2020

 

1,000,000

 

 

 

1,116,046

 

 

 

GENERAL ELEC CAP CORP SUBORDINATED VAR

 

6.375%   15 Nov 2067

 

2,900,000

 

 

 

3,059,500

 

 

 

GENERAL ELECTRIC CO SR UNSECURED

 

0.85%   09 Oct 2015

 

810,000

 

 

 

812,855

 

 

 

GLAXOSMITHKLINE CAP INC COMPANY GUAR

 

5.65%   15 May 2018

 

1,780,000

 

 

 

2,168,118

 

 

 

GLAXOSMITHKLINE CAPITAL COMPANY GUAR

 

2.85%   08 May 2022

 

1,550,000

 

 

 

1,609,911

 

 

 

GLITNIR BANKI HF SR SUBORDINA 144A  VAR

 

7.451%   14 Dec 2049

 

200,000

 

 

 

0

 

 

 

GLITNIR BANKI HF SUB NOTES 144A  VAR

 

6.693%   15 Jun 2016

 

2,100,000

 

 

 

0

 

 

 

GMAC MORTGAGE CORPORATION LOAN GMACM 2005 AR2 1A

 

3.69504%   25 May 2035

 

279,319

 

 

 

261,797

 

 

 

GNMA I  TBA  JAN 30 SINGLE FAM

 

4%   01 Dec 2099

 

4,800,000

 

 

 

5,264,250

 

 

 

GNMA I  TBA JAN 30 SINGLE FAM

 

3.5%   01 Dec 2099

 

2,200,000

 

 

 

2,389,922

 

 

 

GNMA II POOL 003474

 

6%   20 Nov 2033

 

72,775

 

 

 

81,947

 

 

 

GNMA II POOL 004006

 

6%   20 Jul 2037

 

660,198

 

 

 

738,781

 

 

 

GNMA II POOL 004040

 

6.5%   20 Oct 2037

 

1,458,964

 

 

 

1,656,401

 

 

 

GNMA II POOL 004245

 

6%   20 Sep 2038

 

4,169,086

 

 

 

4,652,824

 

 

 

GNMA II POOL 004559

 

5%   20 Oct 2039

 

3,430,949

 

 

 

3,801,964

 

 

 

GNMA II POOL 004617

 

4.5%   20 Jan 2040

 

1,373,357

 

 

 

1,514,185

 

 

 

GNMA II POOL 004696

 

4.5%   20 May 2040

 

1,937,267

 

 

 

2,135,919

 

 

 

GNMA II POOL 004717

 

6%   20 Jun 2040

 

579,507

 

 

 

648,196

 

 

 

GNMA II POOL 004746

 

4.5%   20 Jul 2040

 

1,896,921

 

 

 

2,097,488

 

 

 

GNMA II POOL 004747

 

5%   20 Jul 2040

 

192,160

 

 

 

212,940

 

 

 

GNMA II POOL 004772

 

5%   20 Aug 2040

 

4,118,119

 

 

 

4,557,101

 

 

 

GNMA II POOL 004801

 

4.5%   20 Sep 2040

 

71,517

 

 

 

79,079

 

 

 

GNMA II POOL 004802

 

5%   20 Sep 2040

 

626,960

 

 

 

695,798

 

 

 

GNMA II POOL 004837

 

6%   20 Oct 2040

 

290,770

 

 

 

326,144

 

 

 

GNMA II POOL 004854

 

4.5%   20 Nov 2040

 

377,418

 

 

 

416,555

 

 

 

GNMA II POOL 004855

 

5%   20 Nov 2040

 

980,284

 

 

 

1,084,780

 

 

 

GNMA II POOL 004883

 

4.5%   20 Dec 2040

 

919,098

 

 

 

1,014,406

 

 

 

GNMA II POOL 004923

 

4.5%   20 Jan 2041

 

298,179

 

 

 

328,942

 

 

 

GNMA II POOL 004978

 

4.5%   20 Mar 2041

 

13,190,560

 

 

 

14,513,147

 

 

 

GNMA II POOL 004991

 

6%   20 Mar 2041

 

2,664,625

 

 

 

2,988,790

 

 

 

GNMA II POOL 005085

 

6%   20 Jun 2041

 

3,014,911

 

 

 

3,364,731

 

 

 

GNMA II POOL 005189

 

6%   20 Sep 2041

 

1,323,097

 

 

 

1,479,924

 

 

 

GNMA II POOL 005240

 

6%   20 Nov 2041

 

36,530

 

 

 

40,768

 

 

 

GNMA II POOL 783050

 

5%   20 Jul 2040

 

4,043,473

 

 

 

4,481,007

 

 

 

GNMA POOL 486470

 

6.5%   15 Aug 2028

 

5,738

 

 

 

6,744

 

 

 

GNMA POOL 486516

 

6.5%   15 Sep 2028

 

11,253

 

 

 

13,227

 

 

 

GNMA POOL 617327

 

6%   15 Dec 2036

 

1,038,953

 

 

 

1,159,827

 

 

 

GNMA POOL 617567

 

6%   15 Jun 2037

 

23,133

 

 

 

25,824

 

 

 

GNMA POOL 661534

 

6%   15 Dec 2036

 

132,981

 

 

 

148,453

 

 

 

GNMA POOL 662583

 

6%   15 Sep 2037

 

826,960

 

 

 

923,171

 

 

 

GNMA POOL 780851

 

7.5%   15 Dec 2027

 

13,285

 

 

 

14,425

 

 

 

GNMA POOL 781001

 

7.5%   15 Mar 2029

 

18,469

 

 

 

22,287

 

 

 

GNMA TBA 30YR

 

3%   01 Dec 2099

 

400,000

 

 

 

425,188

 

 

 

GNR 2011 H09  AF  VAR

 

1%   20 Mar 2061

 

1,512,466

 

 

 

1,523,909

 

 

 

GNR 2011 H11 FB  VAR

 

0.7017%   20 Apr 2061

 

13,652,136

 

 

 

13,758,623

 

 

 

GOLDMAN SACHS CAPITAL II LIMITD GUARA  VAR

 

5.793%   29 Dec 2049

 

110,000

 

 

 

85,919

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.75%   24 Jan 2022

 

100,000

 

 

 

118,221

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

6.25%   01 Feb 2041

 

3,090,000

 

 

 

3,791,186

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.375%   15 Mar 2020

 

1,020,000

 

 

 

1,168,951

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

6%   01 May 2014

 

3,930,000

 

 

 

4,182,495

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

6%   15 Jun 2020

 

150,000

 

 

 

178,232

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

4.75%   15 Jul 2013

 

80,000

 

 

 

81,678

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.25%   27 Jul 2021

 

460,000

 

 

 

524,389

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.25%   15 Oct 2013

 

530,000

 

 

 

548,556

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2001 36 FC

 

1%   20 Aug 2031

 

54,130

 

 

 

54,686

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2009 87 KI

 

6.055%   20 Sep 2035

 

3,044,393

 

 

 

367,082

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 113 BS

 

5.75528%   20 Sep 2040

 

1,965,338

 

 

 

308,504

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 121 SE

 

5.75825%   20 Sep 2040

 

1,712,874

 

 

 

300,731

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 14 SH

 

5.74266%   16 Feb 2040

 

740,436

 

 

 

152,829

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 167 US

 

6.43425%   20 Nov 2038

 

702,829

 

 

 

88,689

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 20 SE

 

6.00625%   20 Feb 2040

 

2,965,974

 

 

 

527,315

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 3 MS

 

6.35425%   20 Nov 2038

 

1,145,339

 

 

 

158,100

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 31 GS

 

6.30425%   20 Mar 2039

 

862,463

 

 

 

135,492

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 35 AS

 

5.51025%   20 Mar 2040

 

5,376,327

 

 

 

799,580

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 42 BS

 

0%   20 Apr 2040

 

299,551

 

 

 

54,286

 

 

140



Table of Contents

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 47 XN

 

6.294%   16 Apr 2034

 

610,335

 

 

 

33,044

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 50 QS

 

6.35425%   20 Dec 2038

 

1,234,752

 

 

 

194,617

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 57 QS

 

6.287%   20 May 2040

 

1,498,853

 

 

 

272,282

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 59 LB

 

4.5%   20 Oct 2039

 

2,200,000

 

 

 

2,506,986

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 60 S

 

6.287%   20 May 2040

 

1,487,639

 

 

 

303,051

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 76 SH

 

6.287%   20 May 2040

 

494,882

 

 

 

100,445

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 85 HS

 

6.45425%   20 Jan 2040

 

617,893

 

 

 

107,327

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 93 PS

 

6.46025%   20 Jun 2035

 

854,422

 

 

 

84,595

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 H27 FA

 

0.59025%   20 Dec 2060

 

3,449,150

 

 

 

3,454,483

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2011 11 SA

 

1%   20 Jan 2041

 

1,196,788

 

 

 

176,246

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2011 32 S

 

5.802%   16 Mar 2041

 

324,230

 

 

 

38,971

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2011 32 SD

 

1%   20 Mar 2041

 

681,906

 

 

 

107,062

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2011 4 PS

 

5.98425%   20 Sep 2040

 

1,125,610

 

 

 

175,129

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2011 40 SA

 

1%   16 Feb 2036

 

2,491,300

 

 

 

324,779

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2011 70 BS

 

1%   16 Dec 2036

 

1,434,936

 

 

 

205,014

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2011 H03 FA

 

0.7017%   20 Jan 2061

 

6,600,719

 

 

 

6,648,667

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2012 98 SA

 

5.8925%   16 Aug 2042

 

1,602,828

 

 

 

377,438

 

 

 

GOVERNMENT NATL MTG ASSN

 

3%   01 Dec 2099

 

12,300,000

 

 

 

13,076,439

 

 

 

GSRPM MORTGAGE LOAN TRUST GSRPM 2007 1 A 144A

 

0.6042%   25 Mar 2037

 

3,852,183

 

 

 

1,951,816

 

 

 

HARBORVIEW MORTGAGE LOAN TRUST HVMLT 2006 2 1A

 

1%   25 Apr 2036

 

255,990

 

 

 

169,816

 

 

 

HCA INC SR UNSECURED

 

7.69%   15 Jun 2025

 

170,000

 

 

 

173,825

 

 

 

HCA INC SR UNSECURED

 

7.5%   06 Nov 2033

 

190,000

 

 

 

190,950

 

 

 

HCA INC SR UNSECURED

 

7.5%   15 Nov 2095

 

1,630,000

 

 

 

1,405,875

 

 

 

HEINEKEN NV SENIOR NOTES 144A

 

1.4%   01 Oct 2017

 

560,000

 

 

 

558,309

 

 

 

HESS CORP SR UNSECURED

 

8.125%   15 Feb 2019

 

940,000

 

 

 

1,237,141

 

 

 

HESS CORP SR UNSECURED

 

7.3%   15 Aug 2031

 

1,130,000

 

 

 

1,521,808

 

 

 

HESS CORP SR UNSECURED

 

7.875%   01 Oct 2029

 

660,000

 

 

 

917,660

 

 

 

HSBC FINANCE CORP SR SUBORDINA

 

6.676%   15 Jan 2021

 

3,080,000

 

 

 

3,654,023

 

 

 

HUMANA INC SR UNSECURED

 

3.15%   01 Dec 2022

 

490,000

 

 

 

487,270

 

 

 

HYUNDAI CAPITAL AMERICA SR UNSECURED 144A

 

2.125%   02 Oct 2017

 

470,000

 

 

 

473,365

 

 

 

ILFC E CAPITAL TRUST II LIMITD GUARA 144A  VAR

 

1%   21 Dec 2065

 

720,000

 

 

 

615,600

 

 

 

IMPAC CMB TRUST IMM 2003 1 1A1

 

1.0042%   25 Mar 2033

 

219,660

 

 

 

208,076

 

 

 

IMPAC SECURED ASSETS CORP. IMSA 2006 2 2A1

 

0.5542%   25 Aug 2036

 

93,324

 

 

 

92,949

 

 

 

INTESA SANPAOLO SPA SENIOR NOTES 144A

 

3.625%   12 Aug 2015

 

930,000

 

 

 

930,549

 

 

 

INTL LEASE FINANCE CORP SR SECURED 144A

 

6.5%   01 Sep 2014

 

840,000

 

 

 

896,700

 

 

 

INTL LEASE FINANCE CORP SR SECURED 144A

 

6.75%   01 Sep 2016

 

3,580,000

 

 

 

4,018,550

 

 

 

INTL LEASE FINANCE CORP SR UNSECURED

 

8.625%   15 Jan 2022

 

1,000,000

 

 

 

1,235,000

 

 

 

JOHN DEERE CAPITAL CORP UNSECURED

 

2.25%   17 Apr 2019

 

940,000

 

 

 

967,466

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 CB20 AM

 

6.085916%   12 Feb 2051

 

30,000

 

 

 

34,784

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 CB20 AMFX

 

5.929999%   12 Feb 2051

 

1,000,000

 

 

 

1,156,652

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

4.5%   24 Jan 2022

 

530,000

 

 

 

599,556

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

4.4%   22 Jul 2020

 

1,050,000

 

 

 

1,185,286

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

4.35%   15 Aug 2021

 

2,290,000

 

 

 

2,560,763

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

1.1%   15 Oct 2015

 

2,910,000

 

 

 

2,909,910

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

4.25%   15 Oct 2020

 

80,000

 

 

 

88,970

 

 

 

JPMORGAN CHASE + CO SUBORDINATED

 

5.75%   02 Jan 2013

 

2,730,000

 

 

 

2,730,000

 

 

 

KANSAS CITY SOUTHERN MEX SR UNSECURED

 

12.5%   01 Apr 2016

 

244,000

 

 

 

265,960

 

 

 

KAUPTHING BANK HF SUBORDINATED 144A

 

7.125%   19 May 2016

 

700,000

 

 

 

0

 

 

 

KERR MCGEE CORP COMPANY GUAR

 

6.95%   01 Jul 2024

 

500,000

 

 

 

633,474

 

 

 

KERR MCGEE CORP COMPANY GUAR

 

7.875%   15 Sep 2031

 

2,190,000

 

 

 

2,909,027

 

 

 

KEY ENERGY SERVICES INC COMPANY GUAR

 

6.75%   01 Mar 2021

 

630,000

 

 

 

630,000

 

 

 

KEYCORP STUDENT LOAN TRUST KSLT 2003 A 1A2

 

0.561%   25 Oct 2032

 

807,405

 

 

 

744,744

 

 

 

KINDER MORGAN ENER PART SR UNSECURED

 

6%   01 Feb 2017

 

1,170,000

 

 

 

1,366,569

 

 

 

KINDER MORGAN ENER PART SR UNSECURED

 

5%   15 Dec 2013

 

390,000

 

 

 

404,745

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

5.375%   10 Feb 2020

 

1,565,000

 

 

 

1,879,110

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

3.5%   06 Jun 2022

 

1,510,000

 

 

 

1,611,724

 

 

 

KROGER CO/THE COMPANY GUAR

 

5%   15 Apr 2013

 

1,570,000

 

 

 

1,590,052

 

 

 

LA HIPOTECARIA SA LHIPO 2007 1GA A 144A

 

5.5%   23 Dec 2036

 

6,058,815

 

 

 

5,998,226

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2001 C3 X 144A

 

1.189179%   15 Jun 2036

 

1,444,780

 

 

 

1,176

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C6 A4

 

5.372%   15 Sep 2039

 

2,500,000

 

 

 

2,874,318

 

 

 

LEHMAN BROS CAP TR VII LIMITD GUARA VAR

 

1%   31 Dec 2049

 

1,400,000

 

 

 

140

 

 

 

LEHMAN BROTHERS HOLDINGS SUBORDINATED

 

6.75%   28 Dec 2017

 

3,500,000

 

 

 

350

 

 

 

LEHMAN XS TRUST LXS 2005 5N 1A1

 

0.5042%   25 Nov 2035

 

1,439,605

 

 

 

1,150,807

 

 

 

LEHMAN XS TRUST LXS 2006 4N A2A

 

0.4242%   25 Apr 2046

 

2,368,365

 

 

 

1,504,923

 

 

 

LYONDELLBASELL IND NV SR UNSECURED

 

5%   15 Apr 2019

 

365,000

 

 

 

403,325

 

 

 

LYONDELLBASELL IND NV SR UNSECURED

 

5.75%   15 Apr 2024

 

365,000

 

 

 

428,875

 

 

 

M+T BANK CORPORATION JR SUBORDINA 144A

 

6.875%   31 Dec 2049

 

1,730,000

 

 

 

1,801,553

 

 

 

MALAYSIAN GOVERNMENT SR UNSECURED

 

4.262%   15 Sep 2016

 

11,620,000

 

 

 

3,949,265

 

 

 

MALAYSIAN RINGGIT

 

 

 

495,244

 

 

 

161,950

 

 

 

MARKWEST ENERGY PART/FIN COMPANY GUAR

 

6.25%   15 Jun 2022

 

1,030,000

 

 

 

1,122,700

 

 

 

MASTR ADJUSTABLE RATE MORTGAGE MARM 2004 4 1A1

 

3.526381%   25 Apr 2034

 

80,711

 

 

 

72,364

 

 

 

MASTR SPECIALIZED LOAN TRUST MASD 2006 3 A 144A

 

0.4642%   25 Jun 2046

 

3,801,954

 

 

 

2,312,075

 

 

 

MCDONALD S CORP SR UNSECURED

 

5.35%   01 Mar 2018

 

1,110,000

 

 

 

1,338,859

 

 

 

MEDTRONIC INC SR UNSECURED

 

4.45%   15 Mar 2020

 

890,000

 

 

 

1,033,833

 

 

 

MEDTRONIC INC SR UNSECURED

 

3.125%   15 Mar 2022

 

160,000

 

 

 

169,876

 

 

 

MERRILL LYNCH MORTGAGE INVESTO MLMI 2005 A3 A1

 

0.4742%   25 Apr 2035

 

78,603

 

 

 

70,667

 

 

 

MERRILL LYNCH MORTGAGE TRUST MLMT 2007 C1 A4

 

6.041015%   12 Jun 2050

 

430,000

 

 

 

494,668

 

 

 

MET LIFE GLOB FUNDING I SR SECURED 144A

 

5.125%   10 Apr 2013

 

710,000

 

 

 

718,891

 

 

 

METLIFE CAPITAL TRUST IV JR SUBORDINA 144A

 

1%   15 Dec 2067

 

300,000

 

 

 

367,500

 

 

 

METLIFE INC SR UNSECURED

 

4.75%   08 Feb 2021

 

850,000

 

 

 

986,954

 

 

141



Table of Contents

 

 

 

MEX BONOS DESARR FIX RT BONDS

 

8%   11 Jun 2020

 

136,600,000

 

 

 

12,344,113

 

 

 

MEX BONOS DESARR FIX RT BONDS

 

6.5%   09 Jun 2022

 

73,330,000

 

 

 

6,109,576

 

 

 

MEXICAN PESO (NEW)

 

 

 

7,934,437

 

 

 

610,999

 

 

 

MIDAMERICAN ENERGY HLDGS SR UNSECURED

 

6.5%   15 Sep 2037

 

250,000

 

 

 

332,055

 

 

 

MLCC MORTGAGE INVESTORS INC MLCC 2003 G XA2

 

1.11056%   25 Jan 2029

 

7,336,497

 

 

 

278,937

 

 

 

MLCC MORTGAGE INVESTORS INC MLCC 2003 H A3A

 

2.049047%   25 Jan 2029

 

251,525

 

 

 

254,525

 

 

 

MOLSON COORS BREWING CO COMPANY GUAR

 

3.5%   01 May 2022

 

180,000

 

 

 

190,033

 

 

 

MONDELEZ INTERNATIONAL SR UNSECURED

 

5.375%   10 Feb 2020

 

1,425,000

 

 

 

1,720,347

 

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2006 IQ12 A4

 

5.332%   15 Dec 2043

 

1,158,000

 

 

 

1,332,454

 

 

 

MORGAN STANLEY MORTGAGE LOAN T MSM 2005 3AR 3A

 

1%   25 Jul 2035

 

2,692,475

 

 

 

2,105,338

 

 

 

MORGAN STANLEY NOTES

 

6.625%   01 Apr 2018

 

2,610,000

 

 

 

3,076,081

 

 

 

MORGAN STANLEY SR UNSECURED

 

4.75%   22 Mar 2017

 

250,000

 

 

 

272,740

 

 

 

MORGAN STANLEY SR UNSECURED VAR

 

4.9525%   18 Oct 2016

 

660,000

 

 

 

627,419

 

 

 

MSCC HELOC TRUST MSHLC 2005 1 A

 

0.99%   20 Jul 2017

 

0

 

 

 

0

 

 

 

NATIONAL AUSTRALIA BK LT SR UNSECURED

 

1.6%   07 Aug 2015

 

830,000

 

 

 

842,467

 

 

 

NATIONAL SEMICONDUCTOR SR UNSECURED

 

6.6%   15 Jun 2017

 

190,000

 

 

 

234,644

 

 

 

NELNET STUDENT LOAN TRUST NSLT 2004 4 A5

 

0.43375%   25 Jan 2037

 

286,137

 

 

 

271,989

 

 

 

NEWS AMERICA INC COMPANY GUAR

 

6.75%   09 Jan 2038

 

1,210,000

 

 

 

1,456,539

 

 

 

NEWS AMERICA INC COMPANY GUAR

 

6.65%   15 Nov 2037

 

100,000

 

 

 

129,219

 

 

 

NEWS AMERICA INC COMPANY GUAR

 

6.2%   15 Dec 2034

 

60,000

 

 

 

72,669

 

 

 

NOBLE ENERGY INC SR UNSECURED

 

8.25%   01 Mar 2019

 

1,370,000

 

 

 

1,795,558

 

 

 

NOBLE ENERGY INC SR UNSECURED

 

4.15%   15 Dec 2021

 

1,330,000

 

 

 

1,468,240

 

 

 

NORDEA BANK AB SR UNSECURED 144A

 

3.7%   13 Nov 2014

 

770,000

 

 

 

808,308

 

 

 

NORDEA BANK AB SUBORDINATED 144A

 

4.875%   13 May 2021

 

2,460,000

 

 

 

2,639,014

 

 

 

OCCIDENTAL PETROLEUM COR SR UNSECURED

 

3.125%   15 Feb 2022

 

2,230,000

 

 

 

2,372,020

 

 

 

OCCIDENTAL PETROLEUM COR SR UNSECURED

 

2.7%   15 Feb 2023

 

360,000

 

 

 

367,334

 

 

 

ORACLE CORP SR UNSECURED

 

1.2%   15 Oct 2017

 

1,900,000

 

 

 

1,905,639

 

 

 

ORIGEN MANUFACTURED HOUSING ORGN 2005 B M2

 

6.48%   15 Jan 2037

 

87,150

 

 

 

89,468

 

 

 

PACIFIC GAS + ELECTRIC SR UNSECURED

 

6.05%   01 Mar 2034

 

1,110,000

 

 

 

1,430,127

 

 

 

PACIFIC GAS + ELECTRIC SR UNSECURED

 

5.8%   01 Mar 2037

 

40,000

 

 

 

49,486

 

 

 

PACIFIC GAS + ELECTRIC SR UNSECURED

 

8.25%   15 Oct 2018

 

920,000

 

 

 

1,252,609

 

 

 

PACIFIC LIFE GLOBAL FNDG SR SECURED 144A

 

5.15%   15 Apr 2013

 

900,000

 

 

 

911,959

 

 

 

PEABODY ENERGY CORP COMPANY GUAR

 

6.5%   15 Sep 2020

 

1,909,000

 

 

 

2,047,403

 

 

 

PEGASUS AVIATION LEASE SECURIT PALS 2000 1 A2 144A

 

8.37%   25 Mar 2030

 

1,290,000

 

 

 

348,300

 

 

 

PEMEX PROJ FDG MASTER TR COMPANY GUAR

 

6.625%   15 Jun 2035

 

1,121,000

 

 

 

1,423,670

 

 

 

PENNSYLVANIA HIGHER EDUCATION PHEAA 2005 1 B1

 

1%   25 Apr 2045

 

3,150,000

 

 

 

2,614,130

 

 

 

PENNSYLVANIA ST HGR EDU ASSIST PASSTD  ADJUSTABLE VAR

 

0.387306%   01 May 2046

 

7,900,000

 

 

 

7,510,024

 

 

 

PEPSICO INC SR UNSECURED

 

0.7%   13 Aug 2015

 

1,890,000

 

 

 

1,892,412

 

 

 

PEPSICO INC SR UNSECURED

 

7.9%   01 Nov 2018

 

351,000

 

 

 

473,657

 

 

 

PERNOD RICARD SA SR UNSECURED 144A

 

4.45%   15 Jan 2022

 

2,590,000

 

 

 

2,864,480

 

 

 

PETROBRAS INTL FIN CO COMPANY GUAR

 

3.875%   27 Jan 2016

 

1,150,000

 

 

 

1,213,253

 

 

 

PETROBRAS INTL FIN CO COMPANY GUAR

 

5.75%   20 Jan 2020

 

726,000

 

 

 

826,446

 

 

 

PETROBRAS INTL FIN CO COMPANY GUAR

 

5.375%   27 Jan 2021

 

4,510,000

 

 

 

5,077,448

 

 

 

PETROBRAS INTL FIN CO COMPANY GUAR

 

6.125%   06 Oct 2016

 

740,000

 

 

 

836,304

 

 

 

PFIZER INC SR UNSECURED

 

6.2%   15 Mar 2019

 

1,610,000

 

 

 

2,035,001

 

 

 

PFIZER INC SR UNSECURED

 

7.2%   15 Mar 2039

 

370,000

 

 

 

567,273

 

 

 

PHILIP MORRIS INTL INC SR UNSECURED

 

2.5%   22 Aug 2022

 

1,740,000

 

 

 

1,747,995

 

 

 

PHILIP MORRIS INTL INC SR UNSECURED

 

2.9%   15 Nov 2021

 

1,900,000

 

 

 

1,976,053

 

 

 

POTASH CORP SASKATCHEWAN SR UNSECURED

 

4.875%   30 Mar 2020

 

100,000

 

 

 

114,953

 

 

 

POUND STERLING

 

 

 

482

 

 

 

783

 

 

 

PPG INDUSTRIES INC SR UNSECURED

 

5.75%   15 Mar 2013

 

205,000

 

 

 

207,124

 

 

 

PPG INDUSTRIES INC SR UNSECURED

 

6.65%   15 Mar 2018

 

245,000

 

 

 

304,193

 

 

 

PRIME MORTGAGE TRUST PRIME 2005 5 1A2

 

7.5%   25 Jul 2034

 

1,052,068

 

 

 

982,618

 

 

 

PROVIDENT FUNDING MORTGAGE LOA PFMLT 2005 1 1A1

 

2.66451%   25 May 2035

 

971,636

 

 

 

960,059

 

 

 

PROVINCE OF QUEBEC NOTES VAR

 

1%   22 Jul 2036

 

280,000

 

 

 

440,696

 

 

 

QEP RESOURCES INC SR UNSECURED

 

6.875%   01 Mar 2021

 

240,000

 

 

 

276,600

 

 

 

QEP RESOURCES INC SR UNSECURED

 

5.25%   01 May 2023

 

380,000

 

 

 

406,600

 

 

 

RABOBANK NEDERLAND JR SUBORDINA 144A  VAR

 

11%   29 Dec 2049

 

2,180,000

 

 

 

2,948,450

 

 

 

RANGE RESOURCES CORP COMPANY GUAR

 

6.75%   01 Aug 2020

 

1,450,000

 

 

 

1,573,250

 

 

 

RAYTHEON COMPANY SR UNSECURED

 

3.125%   15 Oct 2020

 

630,000

 

 

 

670,257

 

 

 

REGENCY ENERGY PARTNERS COMPANY GUAR

 

6.5%   15 Jul 2021

 

896,000

 

 

 

981,120

 

 

 

RESIDENTIAL ASSET MORTGAGE PRO RAMP 2002 RS4 AII

 

0.8442%   25 Aug 2032

 

47,622

 

 

 

37,136

 

 

 

RESIDENTIAL ASSET MORTGAGE PRO RAMP 2002 RS5 AII

 

0.5742%   25 Sep 2032

 

147,809

 

 

 

97,256

 

 

 

RESIDENTIAL ASSET MORTGAGE PRO RAMP 2004 SL2 A4

 

8.5%   25 Oct 2031

 

437,866

 

 

 

469,842

 

 

 

RESIDENTIAL ASSET MORTGAGE PRO RAMP 2005 SL1 A7

 

8%   25 May 2032

 

2,463,130

 

 

 

2,404,943

 

 

 

RESIDENTIAL ASSET SECURITIES C RASC 2001 KS2 AII

 

2.04375%   25 Jun 2031

 

228,407

 

 

 

176,739

 

 

 

REYNOLDS AMERICAN INC COMPANY GUAR

 

6.75%   15 Jun 2017

 

670,000

 

 

 

809,104

 

 

 

REYNOLDS AMERICAN INC COMPANY GUAR

 

3.25%   01 Nov 2022

 

590,000

 

 

 

592,652

 

 

 

REYNOLDS GRP ISS/REYNOLD SR SECURED

 

6.875%   15 Feb 2021

 

1,080,000

 

 

 

1,163,700

 

 

 

REYNOLDS GRP ISS/REYNOLD SR SECURED

 

7.125%   15 Apr 2019

 

290,000

 

 

 

311,750

 

 

 

RIO TINTO FIN USA LTD COMPANY GUAR

 

9%   01 May 2019

 

2,270,000

 

 

 

3,117,909

 

 

 

RIO TINTO FIN USA LTD COMPANY GUAR

 

6.5%   15 Jul 2018

 

970,000

 

 

 

1,210,678

 

 

 

RIO TINTO FIN USA LTD COMPANY GUAR

 

3.75%   20 Sep 2021

 

220,000

 

 

 

235,246

 

 

 

ROCHE HLDGS INC COMPANY GUAR 144A

 

6%   01 Mar 2019

 

1,140,000

 

 

 

1,419,064

 

 

 

ROCK TENN CO COMPANY GUAR 144A

 

3.5%   01 Mar 2020

 

380,000

 

 

 

390,030

 

 

 

ROCK TENN CO COMPANY GUAR 144A

 

4%   01 Mar 2023

 

470,000

 

 

 

477,469

 

 

 

ROGERS COMMUNICATIONS IN COMPANY GUAR

 

6.375%   01 Mar 2014

 

150,000

 

 

 

159,805

 

 

 

ROGERS COMMUNICATIONS IN COMPANY GUAR

 

6.75%   15 Mar 2015

 

170,000

 

 

 

191,609

 

 

 

ROYAL BK SCOTLND GRP PLC JR SUBORDINA VAR

 

7.64%   31 Dec 2049

 

300,000

 

 

 

270,000

 

 

 

ROYAL BK SCOTLND GRP PLC JR SUBORDINA VAR

 

7.648%   29 Aug 2049

 

190,000

 

 

 

191,900

 

 

142



Table of Contents

 

 

 

ROYAL BK SCOTLND GRP PLC SR UNSECURED

 

2.55% 18 Sep 2015

 

350,000

 

 

 

358,194

 

 

 

ROYAL BK SCOTLND GRP PLC SR UNSECURED

 

6.4% 21 Oct 2019

 

830,000

 

 

 

980,761

 

 

 

ROYAL BK SCOTLND GRP PLC SUBORDINATED

 

5% 01 Oct 2014

 

920,000

 

 

 

945,308

 

 

 

SACO I TRUST SACO 2006 7 A1

 

1% 25 Jul 2036

 

921,249

 

 

 

620,833

 

 

 

SAFEWAY INC SR UNSECURED

 

6.35% 15 Aug 2017

 

270,000

 

 

 

306,644

 

 

 

SAFEWAY INC SR UNSECURED

 

4.75% 01 Dec 2021

 

890,000

 

 

 

916,963

 

 

 

SANTANDER US DEBT SA UNI BANK GUARANT 144A

 

3.724% 20 Jan 2015

 

1,700,000

 

 

 

1,707,718

 

 

 

SANTANDER US DEBT SA UNI BANK GUARANT 144A

 

3.781% 07 Oct 2015

 

600,000

 

 

 

603,414

 

 

 

SECURITIZED ASSET BACKED RECEI SABR 2006 FR3 A2

 

0.3442% 25 May 2036

 

1,044,234

 

 

 

495,266

 

 

 

SERVICE CORP INTL SR UNSECURED

 

7.5% 01 Apr 2027

 

370,000

 

 

 

397,750

 

 

 

SERVICE CORP INTL SR UNSECURED

 

7.625% 01 Oct 2018

 

20,000

 

 

 

23,800

 

 

 

SESI LLC COMPANY GUAR

 

7.125% 15 Dec 2021

 

360,000

 

 

 

400,500

 

 

 

SHELL INTERNATIONAL FIN COMPANY GUAR

 

4.375% 25 Mar 2020

 

560,000

 

 

 

649,572

 

 

 

SHELL INTERNATIONAL FIN COMPANY GUAR

 

6.375% 15 Dec 2038

 

630,000

 

 

 

885,129

 

 

 

SINOPEC GRP OVERSEA 2012 COMPANY GUAR 144A

 

2.75% 17 May 2017

 

880,000

 

 

 

912,505

 

 

 

SLM CORP SR UNSECURED

 

5% 15 Apr 2015

 

70,000

 

 

 

73,788

 

 

 

SLM CORP SR UNSECURED

 

3.875% 10 Sep 2015

 

940,000

 

 

 

966,285

 

 

 

SLM STUDENT LOAN TRUST SLMA 2003 11 A6 144A

 

0.82706% 15 Dec 2025

 

1,200,000

 

 

 

1,172,209

 

 

 

SLM STUDENT LOAN TRUST SLMA 2003 4 A5A 144A

 

0.997% 15 Mar 2033

 

94,966

 

 

 

93,838

 

 

 

SLM STUDENT LOAN TRUST SLMA 2005 4 A3

 

0.53833% 25 Jan 2027

 

900,000

 

 

 

879,829

 

 

 

SLM STUDENT LOAN TRUST SLMA 2006 5 A5

 

0.35888% 25 Jan 2027

 

1,990,000

 

 

 

1,931,462

 

 

 

SLM STUDENT LOAN TRUST SLMA 2012 6 A3

 

1.05% 26 May 2026

 

600,000

 

 

 

606,149

 

 

 

SOUTHERN COPPER CORP SR UNSECURED

 

5.25% 08 Nov 2042

 

2,700,000

 

 

 

2,702,236

 

 

 

SOUTHERN NATURAL GAS SR UNSECURED

 

8% 01 Mar 2032

 

570,000

 

 

 

812,781

 

 

 

SOUTHERN NATURAL GAS SR UNSECURED 144A

 

5.9% 01 Apr 2017

 

100,000

 

 

 

117,502

 

 

 

SPECIALTY UNDERWRITING + RESID SURF 2003 BC4 M1

 

1.1042% 25 Nov 2034

 

2,045,490

 

 

 

1,839,706

 

 

 

SPRINT CAPITAL CORP COMPANY GUAR

 

8.75% 15 Mar 2032

 

1,630,000

 

 

 

1,992,675

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

93,336,343

 

 

 

93,336,343

 

 

 

* STATE STREET CORP JR SUB DEBS

 

4.956% 15 Mar 2018

 

2,040,000

 

 

 

2,310,690

 

 

 

STEEL DYNAMICS INC COMPANY GUAR

 

7.625% 15 Mar 2020

 

100,000

 

 

 

110,500

 

 

 

STEEL DYNAMICS INC COMPANY GUAR

 

6.75% 01 Apr 2015

 

435,000

 

 

 

440,438

 

 

 

STRIP PRINC

 

0% 15 May 2030

 

11,190,000

 

 

 

7,040,502

 

 

 

STRIP PRINC

 

0% 15 Nov 2021

 

10,260,000

 

 

 

8,938,635

 

 

 

STRUCTURED ADJUSTABLE RATE MOR SARM 2005 16XS A1

 

0.5442% 25 Jul 2035

 

737,659

 

 

 

698,412

 

 

 

STRUCTURED ASSET SECURITIES CO SASC 2004 SC1 A 144A

 

8.386968% 25 Dec 2029

 

1,180,306

 

 

 

1,145,868

 

 

 

STUDENT OH LOAN FUNDING CORP STUSTD ADJUSTABLE VAR

 

0.228% 01 Sep 2047

 

550,000

 

 

 

528,375

 

 

 

SUMITOMO MITSUI BANKING SR UNSECURED 144A

 

3.1% 14 Jan 2016

 

750,000

 

 

 

799,659

 

 

 

SUNTRUST PREFERRED CAP I LIMITD GUARA VAR

 

1% 31 Dec 2049

 

81,000

 

 

 

68,170

 

 

 

TBA FHLMC GOLD CONV

 

3% 01 Dec 2099

 

7,100,000

 

 

 

7,422,828

 

 

 

TBA FHLMC GOLD CONV INTER AGGR

 

2.5% 01 Dec 2099

 

9,000,000

 

 

 

9,392,344

 

 

 

TBA WESTERN/LEHMAN RECEIVABLE LBI LEHESC R(LEH ESCROW REC)

 

0.01% 15 Sep 2099

 

956,648

 

 

 

210,463

 

 

 

TCI COMMUNICATIONS INC SR UNSECURED

 

7.125% 15 Feb 2028

 

130,000

 

 

 

171,639

 

 

 

TEACHERS INSUR + ANNUITY SUBORDINATED 144A

 

6.85% 16 Dec 2039

 

1,590,000

 

 

 

2,156,477

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

5.462% 16 Feb 2021

 

90,000

 

 

 

95,963

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

5.134% 27 Apr 2020

 

770,000

 

 

 

809,463

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

6.421% 20 Jun 2016

 

90,000

 

 

 

99,585

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

6.221% 03 Jul 2017

 

90,000

 

 

 

100,125

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

5.877% 15 Jul 2019

 

250,000

 

 

 

273,125

 

 

 

TEMASEK FINANCIAL I LTD COMPANY GUAR 144A

 

2.375% 23 Jan 2023

 

1,280,000

 

 

 

1,260,680

 

 

 

TENET HEALTHCARE CORP SR SECURED

 

8.875% 01 Jul 2019

 

524,000

 

 

 

586,880

 

 

 

TENET HEALTHCARE CORP SR UNSECURED

 

9.25% 01 Feb 2015

 

321,000

 

 

 

360,323

 

 

 

TENN VALLEY AUTHORITY SR UNSECURED

 

5.25% 15 Sep 2039

 

3,040,000

 

 

 

3,999,777

 

 

 

TEVA PHARM FIN IV BV COMPANY GUAR

 

3.65% 10 Nov 2021

 

270,000

 

 

 

288,963

 

 

 

TEVA PHARMACEUT FIN BV COMPANY GUAR

 

3.65% 10 Nov 2021

 

220,000

 

 

 

235,451

 

 

 

THERMO FISHER SCIENTIFIC SR UNSECURED

 

3.6% 15 Aug 2021

 

600,000

 

 

 

638,118

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

8.75% 14 Feb 2019

 

2,030,000

 

 

 

2,738,795

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

4.125% 15 Feb 2021

 

310,000

 

 

 

339,488

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

8.25% 01 Apr 2019

 

1,540,000

 

 

 

2,049,335

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

6.75% 15 Jun 2039

 

800,000

 

 

 

1,014,699

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

6.75% 01 Jul 2018

 

160,000

 

 

 

199,869

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

5.5% 01 Sep 2041

 

60,000

 

 

 

66,760

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

5.875% 15 Nov 2040

 

700,000

 

 

 

815,637

 

 

 

TIME WARNER ENT COMPANY GUAR

 

8.375% 15 Jul 2033

 

50,000

 

 

 

72,974

 

 

 

TIME WARNER INC COMPANY GUAR

 

4.7% 15 Jan 2021

 

260,000

 

 

 

295,997

 

 

 

TIME WARNER INC COMPANY GUAR

 

4.75% 29 Mar 2021

 

310,000

 

 

 

356,255

 

 

 

TIME WARNER INC COMPANY GUAR

 

6.25% 29 Mar 2041

 

150,000

 

 

 

185,206

 

 

 

TIME WARNER INC COMPANY GUAR

 

6.1% 15 Jul 2040

 

670,000

 

 

 

811,181

 

 

 

TOYOTA MOTOR CREDIT CORP SR UNSECURED

 

1.25% 05 Oct 2017

 

2,000,000

 

 

 

2,014,226

 

 

 

TRUMAN CAPITAL MORTGAGE LOAN T TRUMN 2004 2 A1 144A

 

0.6042% 25 Aug 2034

 

114,766

 

 

 

114,723

 

 

 

TSY INFL IX N/B

 

2% 15 Jan 2026

 

1,829,788

 

 

 

2,399,595

 

 

 

TSY INFL IX N/B

 

2.375% 15 Jan 2027

 

1,112,639

 

 

 

1,534,050

 

 

 

TSY INFL IX N/B

 

3.625% 15 Apr 2028

 

14,859,778

 

 

 

23,555,066

 

 

 

UBM PLC NOTES 144A

 

5.75% 03 Nov 2020

 

910,000

 

 

 

959,991

 

 

 

UBS AG STAMFORD CT NOTES

 

2.25% 28 Jan 2014

 

1,060,000

 

 

 

1,075,306

 

 

 

UBS AG STAMFORD CT NOTES

 

3.875% 15 Jan 2015

 

960,000

 

 

 

1,014,396

 

 

 

UBS BARCLAYS COMMERCIAL MORTGA UBSBB 2012 C4 AS 144A

 

3.316% 10 Dec 2022

 

1,000,000

 

 

 

1,011,046

 

 

 

ULTRA LONG US TREAS BOND FTRS

 

MAR13 XCBT

 

(900,000

)

 

 

26,578

 

 

 

UNITED MEXICAN STATES SR UNSECURED

 

6.05% 11 Jan 2040

 

462,000

 

 

 

619,542

 

 

 

UNITED MEXICAN STATES SR UNSECURED

 

4.75% 08 Mar 2044

 

2,300,000

 

 

 

2,599,000

 

 

 

UNITED PARCEL SERVICE SR UNSECURED

 

4.5% 15 Jan 2013

 

830,000

 

 

 

831,191

 

 

143



Table of Contents

 

 

 

UNITED TECHNOLOGIES CORP SR UNSECURED

 

3.1% 01 Jun 2022

 

140,000

 

 

 

148,258

 

 

 

UNITED TECHNOLOGIES CORP SR UNSECURED

 

4.5% 01 Jun 2042

 

1,040,000

 

 

 

1,155,607

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

4.875% 15 Feb 2013

 

210,000

 

 

 

211,051

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

6% 15 Feb 2018

 

1,090,000

 

 

 

1,326,732

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

4.875% 01 Apr 2013

 

280,000

 

 

 

282,944

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

3.375% 15 Nov 2021

 

440,000

 

 

 

468,764

 

 

 

US DOLLAR

 

 

 

(176,691

)

 

 

(176,691

)

 

 

US TREASURY N/B

 

1.875% 28 Feb 2014

 

13,420,000

 

 

 

13,678,442

 

 

 

US TREASURY N/B

 

3.125% 15 Feb 2042

 

5,020,000

 

 

 

5,249,038

 

 

 

US TREASURY N/B

 

0.5% 31 May 2013

 

110,000

 

 

 

110,176

 

 

 

US TREASURY N/B

 

0.25% 31 Aug 2014

 

250,000

 

 

 

250,068

 

 

 

US TREASURY N/B

 

0.625% 31 Aug 2017

 

27,380,000

 

 

 

27,354,318

 

 

 

US TREASURY N/B

 

1.625% 15 Aug 2022

 

15,020,000

 

 

 

14,921,439

 

 

 

US TREASURY N/B

 

2.75% 15 Aug 2042

 

67,551,000

 

 

 

65,228,934

 

 

 

US TREASURY N/B

 

0.25% 15 Sep 2015

 

220,000

 

 

 

219,519

 

 

 

US TREASURY N/B

 

1.01% 30 Sep 2019

 

18,310,000

 

 

 

18,184,119

 

 

 

US TREASURY N/B

 

0.25% 15 Oct 2015

 

660,000

 

 

 

658,504

 

 

 

US TREASURY N/B

 

0.75% 31 Oct 2017

 

1,220,000

 

 

 

1,224,003

 

 

 

US TREASURY N/B

 

1.25% 31 Oct 2019

 

30,690,000

 

 

 

30,944,144

 

 

 

US TREASURY N/B

 

0.375% 15 Nov 2015

 

310,000

 

 

 

310,291

 

 

 

US TREASURY N/B

 

1.625% 15 Nov 2022

 

8,900,000

 

 

 

8,802,652

 

 

 

US TREASURY N/B

 

1.125% 31 Dec 2019

 

31,600,000

 

 

 

31,511,141

 

 

 

VALE OVERSEAS LIMITED COMPANY GUAR

 

4.375% 11 Jan 2022

 

4,497,000

 

 

 

4,800,579

 

 

 

VALE OVERSEAS LIMITED COMPANY GUAR

 

8.25% 17 Jan 2034

 

260,000

 

 

 

355,577

 

 

 

VALE OVERSEAS LIMITED COMPANY GUAR

 

6.875% 21 Nov 2036

 

1,451,000

 

 

 

1,798,631

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

6.1% 15 Apr 2018

 

1,015,000

 

 

 

1,248,031

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

6% 01 Apr 2041

 

40,000

 

 

 

52,207

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

8.75% 01 Nov 2018

 

176,000

 

 

 

244,371

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

2.45% 01 Nov 2022

 

2,480,000

 

 

 

2,480,828

 

 

 

VERIZON GLOBAL FUNDING SR UNSECURED

 

4.375% 01 Jun 2013

 

260,000

 

 

 

264,232

 

 

 

VESEY STREET INV TRUST I COMPANY GUAR VAR

 

4.404% 01 Sep 2016

 

650,000

 

 

 

701,396

 

 

 

VIRGIN MEDIA SECURED FIN SR SECURED

 

6.5% 15 Jan 2018

 

110,000

 

 

 

118,388

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C29 A4

 

5.308% 15 Nov 2048

 

1,217,000

 

 

 

1,399,471

 

 

 

WACHOVIA CAP TRUST III LIMITD GUARA VAR

 

1% 29 Aug 2049

 

4,490,000

 

 

 

4,467,550

 

 

 

WACHOVIA CORP SR UNSECURED

 

5.75% 01 Feb 2018

 

640,000

 

 

 

766,747

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2004 AR8 A1

 

0.7325% 25 Jun 2044

 

808,596

 

 

 

691,527

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR11 A1A

 

0.5242% 25 Aug 2045

 

1,603,414

 

 

 

1,501,343

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR13 A1A1

 

0.4942% 25 Oct 2045

 

1,986,152

 

 

 

1,885,542

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR15 A1A2

 

0.4842% 25 Nov 2045

 

2,492,911

 

 

 

2,181,898

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR19 A1A2

 

0.4937% 25 Dec 2045

 

2,312,758

 

 

 

2,121,787

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2006 AR14 1A4

 

5.5213% 25 Nov 2036

 

926,341

 

 

 

742,721

 

 

 

WASTE MANAGEMENT INC COMPANY GUAR

 

7.375% 15 May 2029

 

330,000

 

 

 

435,657

 

 

 

WELLPOINT INC SR UNSECURED

 

7% 15 Feb 2019

 

750,000

 

 

 

933,269

 

 

 

WELLPOINT INC SR UNSECURED

 

5.875% 15 Jun 2017

 

130,000

 

 

 

154,295

 

 

 

WELLPOINT INC SR UNSECURED

 

3.7% 15 Aug 2021

 

1,430,000

 

 

 

1,504,018

 

 

 

WELLPOINT INC SR UNSECURED

 

1.25% 10 Sep 2015

 

410,000

 

 

 

413,242

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

1.5% 16 Jan 2018

 

780,000

 

 

 

781,279

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

4.6% 01 Apr 2021

 

300,000

 

 

 

345,072

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

2.1% 08 May 2017

 

650,000

 

 

 

672,017

 

 

 

WELLS FARGO + COMPANY SR UNSECURED VAR

 

3.676% 15 Jun 2016

 

1,040,000

 

 

 

1,124,348

 

 

 

WELLS FARGO + COMPANY SUBORDINATED

 

5% 15 Nov 2014

 

425,000

 

 

 

455,937

 

 

 

WELLS FARGO CAPITAL X LIMITD GUARA

 

5.95% 01 Dec 2086

 

410,000

 

 

 

418,200

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2005 AR8 B1

 

2.718098% 25 Jun 2035

 

3,821,214

 

 

 

1,124,285

 

 

 

WILLIAMS COMPANIES INC SR UNSECURED

 

7.5% 15 Jan 2031

 

19,000

 

 

 

23,754

 

 

 

WILLIAMS COS INC SR UNSECURED

 

8.75% 15 Mar 2032

 

917,000

 

 

 

1,271,084

 

 

 

WILLIAMS COS INC SR UNSECURED

 

7.75% 15 Jun 2031

 

605,000

 

 

 

771,910

 

 

 

WILLIAMS COS INC SR UNSECURED

 

7.875% 01 Sep 2021

 

60,000

 

 

 

77,301

 

 

 

WPP FINANCE (UK) COMPANY GUAR 09/14 8.

 

8% 15 Sep 2014

 

430,000

 

 

 

475,511

 

 

 

WPX ENERGY INC SR UNSECURED 01/22 6.

 

6% 15 Jan 2022

 

90,000

 

 

 

96,975

 

 

 

WYETH LLC COMPANY GUAR

 

5.95% 01 Apr 2037

 

700,000

 

 

 

933,776

 

 

 

XSTRATA FINANCE CANADA COMPANY GUAR 144A

 

1.8% 23 Oct 2015

 

1,410,000

 

 

 

1,417,656

 

 

 

XSTRATA FINANCE CANADA COMPANY GUAR 144A

 

2.45% 25 Oct 2017

 

1,260,000

 

 

 

1,272,214

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5728  5 of 15

 

 

 

 

 

1,339,326,703

 

 

 

 

 

 

 

 

 

 

 

 

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

PRIVEST PRUDENTIAL AST MGMT

 

 

 

11,486

 

 

 

$

322,993,221

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5735  6 of 15

 

 

 

 

 

$

322,993,221

 

 

144



Table of Contents

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

317523V47 OTC EPUT AUD VS USD

 

FEB13 1.036 PUT

 

8,700,000

 

 

 

$

138,077

 

 

 

317538D29 OTC EPUT USD VS JPY

 

MAR13 82.1 PUT

 

(9,400,000

)

 

 

(56,400

)

 

 

317U852C5 IRO USD 5Y

 

MAR13 1.4 CALL

 

(78,000,000

)

 

 

(1,944,228

)

 

 

317U857C0 IRO USD 5Y

 

MAR13 1.4 PUT

 

(78,000,000

)

 

 

(24,336

)

 

 

317U877C6 IRO USD 5Y

 

MAR13 1.7 CALL

 

(28,600,000

)

 

 

(1,129,757

)

 

 

317U878C5 IRO USD 5Y

 

MAR13 1.7 PUT

 

(28,900,000

)

 

 

(1,647

)

 

 

317U881C0 IRO USD 5Y

 

MAR13 1.7 PUT

 

(11,500,000

)

 

 

(656

)

 

 

317U882C9 IRO USD 5Y

 

MAR13 1.7 CALL

 

(11,500,000

)

 

 

(454,273

)

 

 

317U920C3 IRO USD 5Y

 

MAR13 1.7 PUT

 

(5,500,000

)

 

 

(314

)

 

 

317U921C2 IRO USD 5Y

 

MAR13 1.7 CALL

 

(5,500,000

)

 

 

(217,261

)

 

 

90DAY EURODOLLAR FUTURES

 

SEP15 XCME

 

67,250,000

 

 

 

56,391

 

 

 

ABBEY NATL TREASURY

 

1.60025% 10 Jun 2013

 

4,000,000

 

 

 

4,000,000

 

 

 

ABBEY NATL TREASURY SERV BANK GUARANT VAR

 

1% 25 Apr 2014

 

3,800,000

 

 

 

3,791,306

 

 

 

ABBVIE INC COMPANY GUAR 144A

 

1.2% 06 Nov 2015

 

3,000,000

 

 

 

3,020,043

 

 

 

ABBVIE INC COMPANY GUAR 144A

 

1.07175% 06 Nov 2015

 

1,400,000

 

 

 

1,416,149

 

 

 

ABBVIE INC COMPANY GUAR 144A

 

1.75% 06 Nov 2017

 

2,800,000

 

 

 

2,830,456

 

 

 

ADJUSTABLE RATE MORTGAGE TRUST ARMT 2005 10 3A11

 

5.046319% 25 Jan 2036

 

304,073

 

 

 

286,133

 

 

 

AES CORPORATION SR UNSECURED

 

7.75% 01 Mar 2014

 

1,700,000

 

 

 

1,810,500

 

 

 

ALLY FINANCIAL INC COMPANY GUAR VAR

 

3.512% 11 Feb 2014

 

8,200,000

 

 

 

8,346,534

 

 

 

ALLY FINANCIAL INC COMPANY GUAR

 

6.25% 01 Dec 2017

 

1,900,000

 

 

 

2,103,712

 

 

 

ALTRIA GROUP INC COMPANY GUAR

 

8.5% 10 Nov 2013

 

6,650,000

 

 

 

7,085,329

 

 

 

AMERICA MOVIL SAB DE CV COMPANY GUAR

 

3.625% 30 Mar 2015

 

2,800,000

 

 

 

2,968,857

 

 

 

AMERICAN EXPR CENTURION COMPANY GUAR

 

0.875% 13 Nov 2015

 

2,100,000

 

 

 

2,098,457

 

 

 

AMERICAN EXPRESS BK FSB SR UNSECURED

 

5.5% 16 Apr 2013

 

1,700,000

 

 

 

1,724,591

 

 

 

AMERICAN HOME MORTGAGE ASSETS AHMA 2006 5 A1

 

1.0975% 25 Nov 2046

 

858,501

 

 

 

466,638

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

8.25% 15 Aug 2018

 

8,300,000

 

 

 

10,905,254

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

5.6% 18 Oct 2016

 

1,000,000

 

 

 

1,141,962

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR VAR

 

1% 26 Mar 2013

 

9,800,000

 

 

 

9,818,022

 

 

 

ANZ NEW ZEALAND INTL/LDN BANK GUARANT 144A

 

6.2% 19 Jul 2013

 

5,900,000

 

 

 

6,053,170

 

 

 

AUSTRALIAN DOLLAR

 

 

 

740

 

 

 

768

 

 

 

AUTOZONE INC SR UNSECURED

 

7.125% 01 Aug 2018

 

6,000,000

 

 

 

7,537,260

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2006 5 A4

 

5.414% 10 Sep 2047

 

2,700,000

 

 

 

3,070,977

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2007 1 A4

 

5.451% 15 Jan 2049

 

2,600,000

 

 

 

3,008,002

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2007 4 A4

 

5.9356% 10 Feb 2051

 

1,000,000

 

 

 

1,180,557

 

 

 

BANC OF AMERICA FUNDING CORPOR BAFC 2004 A 1A3

 

5.00874% 20 Sep 2034

 

285,130

 

 

 

293,495

 

 

 

BANC OF AMERICA FUNDING CORPOR BAFC 2005 D A1

 

4.1176% 25 May 2035

 

826,235

 

 

 

854,685

 

 

 

BANC OF AMERICA LARGE LOAN BALL 2010 UB5 A4A 144A

 

5.67203% 17 Feb 2051

 

8,300,000

 

 

 

9,587,909

 

 

 

BANC OF AMERICA MORTGAGE SECUR BOAMS 2004 A 3A1

 

3.82827% 25 Feb 2034

 

1,110,923

 

 

 

1,092,624

 

 

 

BANCO BILBAO VICAYA

 

3.12% 21 Oct 2013

 

12,100,000

 

 

 

11,908,473

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

7.375% 15 May 2014

 

4,500,000

 

 

 

4,872,812

 

 

 

BANK OF NOVA SCOTIA SR UNSECURED

 

2.25% 22 Jan 2013

 

5,300,000

 

 

 

5,305,830

 

 

 

BANKIA SA COVERED

 

3.5% 14 Mar 2013

 

5,500,000

 

 

 

7,231,572

 

 

 

BARCLAYS BANK PLC SR UNSECURED

 

2.5% 23 Jan 2013

 

5,500,000

 

 

 

5,506,848

 

 

 

BARCLAYS CASH COLLATERAL

 

CCBCYCUS6

 

20,000

 

 

 

20,000

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2003 3 3A2

 

4.4726% 25 May 2033

 

533,145

 

 

 

537,228

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2003 5 2A1

 

2.6097% 25 Aug 2033

 

217,156

 

 

 

221,598

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2004 7 1A1

 

2.939905% 25 Oct 2034

 

427,409

 

 

 

362,024

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2005 9 A1

 

2.56% 25 Oct 2035

 

314,198

 

 

 

302,546

 

 

 

BEAR STEARNS ALT A TRUST BALTA 2005 7 22A1

 

2.925756% 25 Sep 2035

 

239,235

 

 

 

188,027

 

 

 

BEAR STEARNS ALT A TRUST BALTA 2006 6 31A1

 

5.667425% 25 Nov 2036

 

541,355

 

 

 

360,741

 

 

 

BEAR STEARNS ALT A TRUST BALTA 2006 6 32A1

 

2.848632% 25 Nov 2036

 

454,323

 

 

 

292,765

 

 

 

BEAR STEARNS COS LLC SR UNSECURED

 

5.7% 15 Nov 2014

 

10,000,000

 

 

 

10,866,720

 

 

 

BONOS Y OBLIG DEL ESTADO BONDS

 

3.75% 31 Oct 2015

 

12,700,000

 

 

 

16,848,834

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.125% 01 Oct 2015

 

100,000

 

 

 

106,155

 

 

 

BPCE SA SR UNSECURED 144A

 

2.375% 04 Oct 2013

 

3,300,000

 

 

 

3,330,314

 

 

 

BRITISH TELECOM PLC SR UNSECURED

 

5.15% 15 Jan 2013

 

2,200,000

 

 

 

2,203,034

 

 

 

BUONI POLIENNALI DEL TES BONDS

 

3% 15 Apr 2015

 

2,300,000

 

 

 

3,079,200

 

 

 

BUONI POLIENNALI DEL TES BONDS

 

3.5% 01 Jun 2014

 

11,000,000

 

 

 

14,825,806

 

 

 

BUONI POLIENNALI DEL TES UNSECURED

 

4.25% 01 Jul 2014

 

200,000

 

 

 

272,856

 

 

 

BUONI POLIENNALI DEL TES UNSECURED

 

3.75% 01 Aug 2015

 

2,200,000

 

 

 

2,996,777

 

 

 

BWPC133S6 CDS USD P F

 

5% 20 Jun 2017

 

(9,355,500

)

 

 

(9,513,542

)

 

 

BWPC133S6 CDS USD R V

 

1% 20 Jun 2017

 

9,355,500

 

 

 

9,355,500

 

 

 

BWPC828U1 CDS USD P F

 

5% 20 Dec 2017

 

(20,050,000

)

 

 

(20,162,902

)

 

 

BWPC828U1 CDS USD R V

 

1% 20 Dec 2017

 

20,050,000

 

 

 

20,050,000

 

 

 

BWU000O01 IRS USD P F

 

1.75% 19 Dec 2022

 

(75,300,000

)

 

 

(74,860,630

)

 

 

BWU000O01 IRS USD R V 03MLIBOR

 

1% 19 Dec 2022

 

75,300,000

 

 

 

75,300,000

 

 

 

BWU0640U7 IRS USD P F

 

2.25% 20 Jun 2022

 

(16,800,000

)

 

 

(17,606,131

)

 

 

BWU0640U7 IRS USD R V 03MLIBOR

 

1% 20 Jun 2022

 

16,800,000

 

 

 

16,800,000

 

 

 

CALIFORNIA ST CAS FIXED

 

5.25% 01 Apr 2014

 

900,000

 

 

 

948,798

 

 

 

CALIFORNIA ST CAS FIXED

 

5.45% 01 Apr 2015

 

4,950,000

 

 

 

5,436,981

 

 

 

CANADIAN DOLLAR

 

 

 

(305,395

)

 

 

(306,714

)

 

 

CANADIAN IMPERIAL BANK COVERED 144A

 

2% 04 Feb 2013

 

700,000

 

 

 

700,980

 

 

 

CANADIAN IMPERIAL BANK COVERED 144A

 

2.6% 02 Jul 2015

 

2,300,000

 

 

 

2,416,840

 

 

 

CATERPILLAR INC SR UNSECURED VAR

 

0.4591% 21 May 2013

 

3,600,000

 

 

 

3,603,755

 

 

 

CCS309360 CYS EUR P V 03MEURIB CCS309378 EUR

 

1% 20 Dec 2013

 

(4,278,000

)

 

 

(5,652,866

)

 

 

CCS309360 CYS USD R V 03MLIBOR CCS309360

 

1% 20 Dec 2013

 

5,681,184

 

 

 

5,681,983

 

 

145



Table of Contents

 

 

 

CD COMMERCIAL MORTGAGE TRUST CD 2007 CD4 A4

 

5.322% 11 Dec 2049

 

2,000,000

 

 

 

2,294,220

 

 

 

CELLCO PART/VERI WIRELSS SR UNSECURED

 

5.55% 01 Feb 2014

 

8,700,000

 

 

 

9,132,773

 

 

 

CELLCO PART/VERI WIRELSS SR UNSECURED

 

7.375% 15 Nov 2013

 

261,000

 

 

 

275,868

 

 

 

CHRYSLER GROUP LLC TERM LOAN B

 

6% 24 May 2017

 

1,174,040

 

 

 

1,197,192

 

 

 

CIE FINANCEMENT FONCIER COVERED 144A

 

2.125% 22 Apr 2013

 

5,000,000

 

 

 

5,022,495

 

 

 

CIT GROUP INC SR UNSECURED

 

4.25% 15 Aug 2017

 

3,400,000

 

 

 

3,501,123

 

 

 

CIT GROUP INC SR UNSECURED 144A

 

5.25% 01 Apr 2014

 

10,200,000

 

 

 

10,557,000

 

 

 

CITIGROUP INC SR UNSECURED VAR

 

1.9061% 13 Jan 2014

 

3,000,000

 

 

 

3,027,591

 

 

 

CITIGROUP INC SR UNSECURED

 

5.5% 11 Apr 2013

 

3,700,000

 

 

 

3,738,121

 

 

 

CITIGROUP INC SR UNSECURED

 

6.5% 19 Aug 2013

 

3,700,000

 

 

 

3,828,009

 

 

 

CITIGROUP INC SR UNSECURED VAR

 

1% 13 Aug 2013

 

7,800,000

 

 

 

7,874,903

 

 

 

CITIGROUP INC SUBORDINATED

 

5% 15 Sep 2014

 

3,605,000

 

 

 

3,792,777

 

 

 

CITIGROUP MORTGAGE LOAN TRUST CMLTI 2005 6 A1

 

4.7475% 25 Sep 2035

 

190,955

 

 

 

188,683

 

 

 

CITIGROUP MORTGAGE LOAN TRUST CMLTI 2006 AR1 1A1

 

2.53% 25 Oct 2035

 

759,994

 

 

 

703,737

 

 

 

CITIGROUP MORTGAGE LOAN TRUST CMLTI 2007 AMC4 A2A

 

0.2642% 25 May 2037

 

147,733

 

 

 

144,969

 

 

 

CLEAVER BROOKS INC SR SECURED 144A

 

8.75% 15 Dec 2019

 

2,900,000

 

 

 

2,994,250

 

 

 

CMS ENERGY CORP SR UNSECURED

 

2.75% 15 May 2014

 

700,000

 

 

 

709,870

 

 

 

COCA COLA ENTERPRISES SR UNSECURED

 

1.125% 12 Nov 2013

 

5,000,000

 

 

 

5,022,390

 

 

 

COMM MORTGAGE TRUST COMM 2012 9W57 A 144A

 

2.3646% 10 Feb 2029

 

4,700,000

 

 

 

4,929,120

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2003 J3 2A1

 

6.25% 25 Dec 2033

 

258,561

 

 

 

268,088

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2005 56 5A2

 

1.0162% 25 Nov 2035

 

540,107

 

 

 

387,245

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2006 30T1 1A3

 

6.25% 25 Nov 2036

 

265,073

 

 

 

219,841

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2006 41CB 1A9

 

6% 25 Jan 2037

 

743,220

 

 

 

601,376

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2006 HY12 A1

 

5.66% 25 Aug 2036

 

257,492

 

 

 

261,221

 

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2006 J8 A2

 

6% 25 Feb 2037

 

265,726

 

 

 

195,230

 

 

 

COUNTRYWIDE HOME LOANS CWHL 2001 HYB1 2A1

 

1.95181% 19 Jun 2031

 

25,654

 

 

 

25,926

 

 

 

COUNTRYWIDE HOME LOANS CWHL 2003 R4 2A 144A

 

6.5% 25 Jan 2034

 

523,978

 

 

 

524,269

 

 

 

COUNTRYWIDE HOME LOANS CWHL 2004 11 2A1

 

3.904783% 25 Jul 2034

 

733,715

 

 

 

721,674

 

 

 

COUNTRYWIDE HOME LOANS CWHL 2005 R1 2A1 144A

 

6% 25 Mar 2035

 

1,276,460

 

 

 

1,252,744

 

 

 

COUNTRYWIDE HOME LOANS CWHL 2005 R2 1AF1 144A

 

4.17% 25 Jun 2035

 

667,277

 

 

 

570,255

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2007 C5 A3

 

5.694% 15 Sep 2040

 

4,000,000

 

 

 

4,194,584

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2009 RR3 A5A 144A

 

5.342% 15 Dec 2043

 

2,200,000

 

 

 

2,530,405

 

 

 

CROWN CASTLE TOWERS LLC SR SECURED 144A

 

3.214% 15 Aug 2015

 

4,200,000

 

 

 

4,378,991

 

 

 

CS FIRST BOSTON COMMERCIAL MOR CSFB 2003 CK2 A4

 

4.801% 15 Mar 2036

 

437,938

 

 

 

437,575

 

 

 

CURRENCY CONTRACT

 

BUYCNY/SELLUSD

 

 

 

 

 

844,335

 

 

 

CURRENCY CONTRACT

 

BUYNOK/SELLUSD

 

 

 

 

 

134,065

 

 

 

CURRENCY CONTRACT

 

BUYCAD/SELLUSD

 

 

 

 

 

(33,042

)

 

 

CURRENCY CONTRACT

 

BUYMXN/SELLUSD

 

 

 

 

 

(1,530

)

 

 

CURRENCY CONTRACT

 

BUYDKK/SELLUSD

 

 

 

 

 

19,019

 

 

 

CURRENCY CONTRACT

 

BUYCAD/SELLUSD

 

 

 

 

 

(230

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLCNY

 

 

 

 

 

(48,354

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

(12,943

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLNOK

 

 

 

 

 

(152,489

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLCNY

 

 

 

 

 

(29,611

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLAUD

 

 

 

 

 

47,064

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

(107,619

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLCNY

 

 

 

 

 

(62,539

)

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLGBP

 

 

 

 

 

5,929

 

 

 

CURRENCY CONTRACT

 

BUYUSD/SELLEUR

 

 

 

 

 

(599,755

)

 

 

DAIMLER FIN NORTH AMERICA

 

1.05% 11 Oct 2013

 

4,400,000

 

 

 

4,372,717

 

 

 

DBUBS MORTGAGE TRUST DBUBS 2011 LC3A A2

 

3.642% 10 Sep 2016

 

4,600,000

 

 

 

5,004,818

 

 

 

DEUTSCHE ALT A SECURITIES INC DBALT 2005 6 2A3

 

5.5% 25 Dec 2035

 

581,470

 

 

 

468,378

 

 

 

DEUTSCHE ALT A SECURITIES INC DBALT 2006 AB3 A5B

 

6.3% 25 Jul 2036

 

491,077

 

 

 

285,755

 

 

 

DEXIA CR LOC SA

 

1.4% 20 Sep 2013

 

1,800,000

 

 

 

1,800,000

 

 

 

DEXIA CREDIT LOCAL GOVT GUARANT 144A VAR

 

0.7805% 29 Apr 2014

 

5,000,000

 

 

 

4,933,091

 

 

 

DEXIA CREDIT LOCAL SA NY GOVT LIQUID

 

1.7% 06 Sep 2013

 

4,100,000

 

 

 

4,104,818

 

 

 

DNB BANK ASA SR UNSECURED 144A

 

3.2% 03 Apr 2017

 

3,900,000

 

 

 

4,153,734

 

 

 

EKSPORTFINANS ASA SR UNSECURED

 

2% 15 Sep 2015

 

6,700,000

 

 

 

6,413,012

 

 

 

ENCANA HLDINGS FIN CORP COMPANY GUAR

 

5.8% 01 May 2014

 

2,000,000

 

 

 

2,125,976

 

 

 

EURO CURRENCY

 

 

 

230,688

 

 

 

304,139

 

 

 

EURO OAT FUTURES

 

MAR13 XEUR

 

(32,400,000

)

 

 

(337,821

)

 

 

EXPORT IMPORT BK KOREA SR UNSECURED

 

8.125% 21 Jan 2014

 

9,700,000

 

 

 

10,409,235

 

 

 

FANNIE MAE FNR 2001 79 BA

 

7% 25 Mar 2045

 

2,491,214

 

 

 

2,920,338

 

 

 

FANNIE MAE FNR 2003 116 FA

 

0.6042% 25 Nov 2033

 

3,078,501

 

 

 

3,093,785

 

 

 

FANNIE MAE FNR 2007 114 A6

 

3.57625% 27 Oct 2037

 

4,100,000

 

 

 

4,078,389

 

 

 

FANNIE MAE FNR 2007 15 AI

 

6.136% 25 Mar 2037

 

4,867,429

 

 

 

748,129

 

 

 

FANNIE MAE FNR 2007 22 SW

 

5.806% 25 Mar 2037

 

3,025,042

 

 

 

438,438

 

 

 

FANNIE MAE FNR 2007 4 SL

 

6.956% 25 Feb 2037

 

1,796,517

 

 

 

305,775

 

 

 

FANNIE MAE FNR 2008 12 FA

 

0.9463% 25 Mar 2038

 

6,366,417

 

 

 

6,428,942

 

 

 

FANNIE MAE FNR 2010 117 FE

 

0.6075% 25 Oct 2040

 

1,704,527

 

 

 

1,714,248

 

 

 

FANNIE MAE FNR 2010 135 LF

 

0.66839% 25 Dec 2040

 

2,113,405

 

 

 

2,131,242

 

 

 

FANNIE MAE FNR 2011 3 FA

 

0.94% 25 Feb 2041

 

8,352,780

 

 

 

8,410,832

 

 

 

FANNIE MAE FNR 2011 40 SX

 

9.57313% 25 Nov 2040

 

201,411

 

 

 

201,189

 

 

 

FANNIE MAE FNR 2011 86 KF

 

0.73725% 25 Sep 2041

 

4,810,190

 

 

 

4,850,192

 

 

 

FANNIE MAE FNR 2011 86 NF

 

0.73725% 25 Sep 2041

 

2,448,241

 

 

 

2,461,133

 

 

 

FANNIE MAE FNR 2012 11 GF

 

0.796% 25 May 2040

 

5,430,812

 

 

 

5,473,993

 

 

 

FANNIE MAE NOTES

 

1.25% 14 Mar 2014

 

20,850,000

 

 

 

21,110,271

 

 

 

FANNIE MAE NOTES

 

0.5% 27 May 2015

 

6,900,000

 

 

 

6,925,047

 

 

 

FANNIE MAE NOTES

 

0.75% 18 Dec 2013

 

5,100,000

 

 

 

5,129,376

 

 

 

FANNIEMAE WHOLE LOAN FNW 2006 W1 1A1

 

6.5% 25 Dec 2045

 

3,201,603

 

 

 

3,779,848

 

 

146



Table of Contents

 

 

 

FEDERAL FARM CREDIT BANK BONDS VAR

 

0.29734% 15 Jan 2013

 

10,000,000

 

 

 

10,000,430

 

 

 

FEDERAL NATL MORT ASSN SER 2007 32 CL SC

 

5.8958% 25 Apr 2037

 

12,475,753

 

 

 

2,088,563

 

 

 

FHLMC STRUCTURED PASS THROUGH FSPC T 61 1A1

 

4.878% 25 Jul 2044

 

3,133,229

 

 

 

3,201,731

 

 

 

FIRST HORIZON ALTERNATIVE MORT FHAMS 2007 FA4 1A8

 

6.25% 25 Aug 2037

 

301,775

 

 

 

237,413

 

 

 

FNMA TBA FEB 30 SINGLE FAM

 

5% 01 Dec 2099

 

7,000,000

 

 

 

7,582,969

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

4.5% 01 Dec 2099

 

32,500,000

 

 

 

35,106,347

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

5.5% 01 Dec 2099

 

(2,000,000

)

 

 

(2,172,812

)

 

 

FNMA POOL 256552

 

5.5% 01 Jan 2037

 

13,487

 

 

 

14,671

 

 

 

FNMA POOL 257367

 

5.5% 01 Sep 2028

 

16,929

 

 

 

18,415

 

 

 

FNMA POOL 257371

 

5% 01 Sep 2028

 

731,782

 

 

 

793,159

 

 

 

FNMA POOL 713700

 

4.5% 01 Aug 2033

 

131,036

 

 

 

142,248

 

 

 

FNMA POOL 725422

 

5% 01 Apr 2034

 

32,041

 

 

 

34,909

 

 

 

FNMA POOL 725598

 

5.5% 01 Jul 2034

 

167,985

 

 

 

183,780

 

 

 

FNMA POOL 725946

 

5.5% 01 Nov 2034

 

129,960

 

 

 

142,181

 

 

 

FNMA POOL 731229

 

4.5% 01 Aug 2033

 

79,357

 

 

 

86,147

 

 

 

FNMA POOL 735697

 

2.135% 01 Jun 2035

 

8,861,404

 

 

 

9,317,260

 

 

 

FNMA POOL 784184

 

5.5% 01 Jun 2034

 

9,520

 

 

 

10,415

 

 

 

FNMA POOL 795297

 

5.864% 01 Jul 2044

 

360,657

 

 

 

365,926

 

 

 

FNMA POOL 836583

 

5% 01 Oct 2035

 

80,450

 

 

 

87,349

 

 

 

FNMA POOL 851037

 

5% 01 Dec 2035

 

615,092

 

 

 

667,835

 

 

 

FNMA POOL 887671

 

5.5% 01 Aug 2036

 

6,429

 

 

 

6,993

 

 

 

FNMA POOL 888219

 

5.5% 01 Mar 2037

 

54,528

 

 

 

59,314

 

 

 

FNMA POOL 888284

 

5.5% 01 Apr 2037

 

5,987

 

 

 

6,513

 

 

 

FNMA POOL 899622

 

5.5% 01 Jul 2037

 

24,770

 

 

 

26,917

 

 

 

FNMA POOL 901727

 

5.5% 01 Oct 2036

 

736,770

 

 

 

801,444

 

 

 

FNMA POOL 902463

 

5.5% 01 Nov 2036

 

326,119

 

 

 

354,745

 

 

 

FNMA POOL 905141

 

5.5% 01 Feb 2037

 

22,527

 

 

 

24,875

 

 

 

FNMA POOL 905648

 

5.5% 01 Dec 2036

 

25,306

 

 

 

27,944

 

 

 

FNMA POOL 905806

 

5.5% 01 Jan 2037

 

7,749

 

 

 

8,429

 

 

 

FNMA POOL 906636

 

5.5% 01 Nov 2036

 

8,485

 

 

 

9,230

 

 

 

FNMA POOL 920077

 

5.5% 01 Dec 2036

 

387,883

 

 

 

421,931

 

 

 

FNMA POOL 930796

 

5% 01 Feb 2035

 

190,457

 

 

 

207,503

 

 

 

FNMA POOL 931209

 

4.5% 01 May 2039

 

179,840

 

 

 

194,329

 

 

 

FNMA POOL 932841

 

3.5% 01 Dec 2025

 

4,596,687

 

 

 

4,879,048

 

 

 

FNMA POOL 940842

 

5.5% 01 Aug 2037

 

235,132

 

 

 

255,515

 

 

 

FNMA POOL 962127

 

4.5% 01 Mar 2038

 

78,182

 

 

 

84,481

 

 

 

FNMA POOL 995094

 

4.5% 01 Nov 2035

 

75,232

 

 

 

81,528

 

 

 

FNMA POOL AA0836

 

4.5% 01 Jan 2039

 

8,097

 

 

 

8,750

 

 

 

FNMA POOL AA5780

 

4.5% 01 Apr 2039

 

1,613,266

 

 

 

1,743,238

 

 

 

FNMA POOL AA5836

 

4.5% 01 May 2039

 

713,172

 

 

 

770,629

 

 

 

FNMA POOL AA6513

 

4.5% 01 Apr 2039

 

127,510

 

 

 

137,783

 

 

 

FNMA POOL AA7937

 

4.5% 01 Jan 2037

 

13,350

 

 

 

14,429

 

 

 

FNMA POOL AB1634

 

3.5% 01 Oct 2020

 

4,600,222

 

 

 

4,881,363

 

 

 

FNMA POOL AB3726

 

3.5% 01 Oct 2026

 

922,659

 

 

 

979,335

 

 

 

FNMA POOL AC0102

 

4.5% 01 Aug 2039

 

138,871

 

 

 

150,059

 

 

 

FNMA POOL AC4946

 

4.5% 01 Dec 2039

 

69,462

 

 

 

75,058

 

 

 

FNMA POOL AC8111

 

5.5% 01 Dec 2032

 

248,526

 

 

 

272,361

 

 

 

FNMA POOL AC8512

 

4.5% 01 Dec 2039

 

833,154

 

 

 

900,277

 

 

 

FNMA POOL AC8765

 

5.5% 01 Jan 2040

 

159,662

 

 

 

173,478

 

 

 

FNMA POOL AD3354

 

4.5% 01 May 2040

 

100,306

 

 

 

108,701

 

 

 

FNMA POOL AD7593

 

4.5% 01 Jul 2040

 

147,958

 

 

 

160,340

 

 

 

FNMA POOL AD7853

 

4.5% 01 Jun 2030

 

34,015

 

 

 

36,830

 

 

 

FNMA POOL AD8333

 

5% 01 Aug 2040

 

492,810

 

 

 

536,299

 

 

 

FNMA POOL AE0215

 

4% 01 Dec 2039

 

5,013,022

 

 

 

5,374,389

 

 

 

FNMA POOL AE0218

 

4.5% 01 Aug 2040

 

72,227

 

 

 

78,024

 

 

 

FNMA POOL AE0984

 

4.5% 01 Feb 2041

 

137,569

 

 

 

149,082

 

 

 

FNMA POOL AE2325

 

4.5% 01 Aug 2040

 

838,476

 

 

 

908,647

 

 

 

FNMA POOL AE2847

 

4% 01 Oct 2040

 

233,743

 

 

 

254,598

 

 

 

FNMA POOL AE3455

 

4.5% 01 Sep 2040

 

741,939

 

 

 

818,267

 

 

 

FNMA POOL AE6120

 

4% 01 Oct 2040

 

3,728,252

 

 

 

4,000,633

 

 

 

FNMA POOL AE9708

 

4.5% 01 Nov 2040

 

2,574,180

 

 

 

2,789,612

 

 

 

FNMA POOL AH1231

 

3.5% 01 Dec 2025

 

3,679,703

 

 

 

3,905,736

 

 

 

FNMA POOL AH3874

 

4.5% 01 Sep 2041

 

70,122

 

 

 

76,122

 

 

 

FNMA POOL AH4695

 

4.5% 01 Mar 2041

 

146,533

 

 

 

159,071

 

 

 

FNMA POOL AH9352

 

4.5% 01 Apr 2041

 

409,297

 

 

 

444,319

 

 

 

FNMA POOL AI0021

 

4.5% 01 Jun 2041

 

434,145

 

 

 

471,292

 

 

 

FNMA POOL AI0277

 

4.5% 01 May 2041

 

564,350

 

 

 

612,638

 

 

 

FNMA POOL AI1486

 

4.5% 01 Apr 2041

 

587,184

 

 

 

637,426

 

 

 

FNMA POOL AI3533

 

4.5% 01 Jun 2041

 

59,065

 

 

 

64,119

 

 

 

FNMA POOL AI4815

 

4.5% 01 Jun 2041

 

193,436

 

 

 

209,987

 

 

 

FNMA POOL AI4900

 

4.5% 01 Jun 2041

 

33,273

 

 

 

36,120

 

 

 

FNMA POOL AI5730

 

4.5% 01 Jun 2041

 

600,628

 

 

 

652,021

 

 

 

FNMA POOL AI6355

 

4.5% 01 Aug 2036

 

74,787

 

 

 

80,836

 

 

 

FNMA POOL AI7229

 

4.5% 01 Jul 2041

 

2,723,420

 

 

 

2,953,938

 

 

 

FNMA POOL AI7431

 

4.5% 01 Sep 2041

 

524,922

 

 

 

569,837

 

 

 

FNMA POOL AI7839

 

3.5% 01 Jul 2026

 

2,694,026

 

 

 

2,859,512

 

 

 

FNMA POOL AI8194

 

4.5% 01 Aug 2041

 

466,981

 

 

 

506,938

 

 

 

FNMA POOL AI9280

 

4.5% 01 Aug 2041

 

89,971

 

 

 

97,670

 

 

 

FNMA POOL AI9526

 

5% 01 Sep 2041

 

142,716

 

 

 

155,801

 

 

 

FNMA POOL AJ1416

 

4.5% 01 Sep 2041

 

734,707

 

 

 

797,572

 

 

147



Table of Contents

 

 

 

FNMA POOL AJ4417

 

4.5% 01 Oct 2041

 

66,614

 

 

 

72,313

 

 

 

FNMA POOL AJ5905

 

4.5% 01 Nov 2041

 

820,164

 

 

 

900,594

 

 

 

FNMA POOL AL2122

 

4.5% 01 Jan 2042

 

110,145

 

 

 

119,363

 

 

 

FNMA POOL MA0073

 

4.5% 01 May 2029

 

101,164

 

 

 

109,599

 

 

 

FNMA POOL MA0353

 

4.5% 01 Mar 2030

 

71,662

 

 

 

77,786

 

 

 

FNMA POOL MA0504

 

3.5% 01 Aug 2020

 

934,844

 

 

 

991,977

 

 

 

FNMA POOL MA0577

 

3.5% 01 Nov 2020

 

2,801,716

 

 

 

2,972,941

 

 

 

FNMA TBA 30YR SINGLE FAMILY JA

 

3.5% 01 Dec 2099

 

2,000,000

 

 

 

2,132,266

 

 

 

FNMA TBA MAR

 

3% 01 Dec 2099

 

1,000,000

 

 

 

1,045,625

 

 

 

FNMA TBA SINGLE FAMILY MORTGAG

 

4% 01 Dec 2099

 

(8,000,000

)

 

 

(8,575,000

)

 

 

FNR 2009 87 HS VAR

 

5.9458% 25 Nov 2039

 

2,634,284

 

 

 

395,975

 

 

 

FORD MOTOR CREDIT CO

 

1.28% 22 Jan 2013

 

2,200,000

 

 

 

2,198,829

 

 

 

FORD MOTOR CREDIT CO

 

1.24% 23 Jan 2013

 

1,550,000

 

 

 

1,549,137

 

 

 

FORD MOTOR CREDIT CO

 

1% 21 Feb 2013

 

3,400,000

 

 

 

3,395,421

 

 

 

FREDDIE MAC DISCOUNT NT DISCOUNT NOT

 

5.07% 03 Apr 2001

 

23,800,000

 

 

 

23,795,787

 

 

 

FREDDIE MAC FHR 3122 SE

 

6.471% 15 Mar 2036

 

8,020,987

 

 

 

1,237,566

 

 

 

FREDDIE MAC FHR 3218 SA

 

1% 15 Sep 2036

 

2,471,022

 

 

 

454,158

 

 

 

FREDDIE MAC FHR 3828 SY

 

12.47001% 15 Feb 2041

 

369,788

 

 

 

395,933

 

 

 

FREDDIE MAC FHR 3904 SJ

 

13.68825% 15 Aug 2041

 

826,835

 

 

 

866,694

 

 

 

FREDDIE MAC FHR 3918 CS

 

11.452% 15 Sep 2041

 

901,393

 

 

 

943,964

 

 

 

FREDDIE MAC FHR 3984 DF

 

0.7985% 15 Jan 2042

 

8,564,512

 

 

 

8,635,221

 

 

 

FREDDIE MAC NOTES

 

5% 15 Jul 2014

 

43,330,000

 

 

 

46,481,001

 

 

 

FREDDIE MAC NOTES

 

1.25% 01 Aug 2019

 

10,000,000

 

 

 

10,013,840

 

 

 

GAZPROM (GAZ CAPITAL SA) SR UNSECURED 144A

 

7.343% 11 Apr 2013

 

700,000

 

 

 

710,220

 

 

 

GCCFC COMMERCIAL MORTGAGE TRUS GCCFC 2007 GG9 A4

 

5.44% 10 Mar 2039

 

4,900,000

 

 

 

5,643,433

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

1.875% 16 Sep 2013

 

5,000,000

 

 

 

5,049,310

 

 

 

GMAC CAPITAL TRUST I PREFERRED STOCK VAR

 

PREFERRED STOCK 02/40 VAR

 

79,000

 

 

 

2,094,290

 

 

 

GOLDMAN SACHS + COMPANY

 

REPO CASH COLLATERAL USD

 

(330,000

)

 

 

(330,000

)

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.15% 15 Jan 2014

 

12,000,000

 

 

 

12,514,872

 

 

 

GOLDMAN SACHS NG TRI PARTY REPO

 

0.25% 23 Jan 2013

 

21,100,000

 

 

 

21,100,000

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2002 81 Z

 

6.112% 16 Sep 2042

 

3,698,311

 

 

 

4,259,800

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2004 47 PD

 

6% 16 Jun 2034

 

2,448,000

 

 

 

3,025,331

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2012 149 GF

 

0.5032% 20 Dec 2042

 

12,100,000

 

 

 

12,096,219

 

 

 

GRANITE MASTER ISSUER PLC GRANM 2005 1 A5 REGS

 

0.956% 20 Dec 2054

 

3,405,661

 

 

 

4,422,674

 

 

 

GRANITE MASTER ISSUER PLC GRANM 2005 4 A5 REGS

 

0.976% 20 Dec 2054

 

132,173

 

 

 

171,643

 

 

 

GRANITE MASTER ISSUER PLC GRANM 2006 1X A6 REGS

 

1.087% 20 Dec 2054

 

132,173

 

 

 

171,643

 

 

 

GRANITE MASTER ISSUER PLC GRANM 2006 2 A5 REGS

 

0.543% 20 Dec 2054

 

1,215,989

 

 

 

1,579,113

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2007 EOP A2 144A

 

0.42531% 06 Mar 2020

 

1,030,000

 

 

 

1,031,387

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2007 EOP A3 144A

 

0.43781% 06 Mar 2020

 

5,385,000

 

 

 

5,393,417

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2007 EOP C 144A

 

2.00559% 06 Mar 2020

 

1,000,000

 

 

 

1,002,014

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2011 GC3 A3 144A

 

1% 10 Mar 2044

 

3,500,000

 

 

 

4,002,166

 

 

 

HARBORVIEW MORTGAGE LOAN TRUST HVMLT 2006 7 2A1A

 

0.419% 19 Sep 2046

 

332,190

 

 

 

242,673

 

 

 

HCA INC TERM LOAN A 2

 

1% 02 May 2016

 

912,466

 

 

 

909,994

 

 

 

HEWLETT PACKARD CO SR UNSECURED VAR

 

0.5681% 24 May 2013

 

4,400,000

 

 

 

4,387,262

 

 

 

HEWLETT PACKARD CO SR UNSECURED

 

1.25% 13 Sep 2013

 

4,500,000

 

 

 

4,499,946

 

 

 

HSI ASSET SECURITIZATION CORPO HASC 2006 HE1 2A1

 

3.185% 25 Oct 2036

 

38,388

 

 

 

15,787

 

 

 

IASIS HEALTHCARE LLC TERM LOAN B

 

1% 15 Mar 2014

 

2,947,500

 

 

 

2,952,098

 

 

 

ILLINOIS ST ILS FIXED

 

3.321% 01 Jan 2013

 

3,600,000

 

 

 

3,600,000

 

 

 

ILLINOIS ST ILS FIXED

 

2.926% 01 Feb 2013

 

200,000

 

 

 

200,312

 

 

 

ING BANK NV GOVT LIQUID 144A

 

3.9% 19 Mar 2014

 

3,200,000

 

 

 

3,326,723

 

 

 

ING BANK NV SENIOR NOTES 144A VAR

 

1.78565% 18 Oct 2013

 

5,000,000

 

 

 

5,034,645

 

 

 

ING BANK NV UNSECURED 144A

 

2% 25 Sep 2015

 

3,000,000

 

 

 

3,022,200

 

 

 

INTESA SANPAOLO SPA SR UNSECURED 144A VAR

 

2.7115% 24 Feb 2014

 

6,600,000

 

 

 

6,592,621

 

 

 

JAPANESE YEN

 

 

 

2,247,896

 

 

 

25,998

 

 

 

JP MORGAN CHASE BANK NA SUBORDINATED VAR

 

0.6101% 13 Jun 2016

 

1,700,000

 

 

 

1,652,677

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 CB15 A4

 

5.814% 12 Jun 2043

 

2,300,000

 

 

 

2,624,537

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 LDPX A3

 

5.42% 15 Jan 2049

 

9,500,000

 

 

 

10,987,757

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2011 C4 A2 144A

 

3.341% 15 Jul 2046

 

7,600,000

 

 

 

8,172,295

 

 

 

JP MORGAN MORTGAGE TRUST JPMMT 2007 A1 5A6

 

4.35139% 25 Jul 2035

 

1,582,445

 

 

 

1,418,015

 

 

 

JPMORGAN CHASE + CO SR UNSECURED VAR

 

1.102% 24 Jan 2014

 

900,000

 

 

 

906,038

 

 

 

KFW GOVT GUARANT

 

2.5% 28 May 2013

 

6,000,000

 

 

 

6,052,446

 

 

 

KINDER MORGAN ENER PART SR UNSECURED

 

3.5% 01 Mar 2016

 

2,800,000

 

 

 

2,993,197

 

 

 

KOMMUNALBANKEN AS GOVT GUARANT 144A VAR

 

1% 27 Mar 2017

 

7,000,000

 

 

 

7,040,733

 

 

 

KOREA DEVELOPMENT BANK SR UNSECURED

 

5.3% 17 Jan 2013

 

7,350,000

 

 

 

7,361,775

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C1 A4

 

5.156% 15 Feb 2031

 

550,000

 

 

 

614,037

 

 

 

LBG CAPITAL NO.1 PLC BANK GUARANT

 

7.588% 12 May 2020

 

2,500,000

 

 

 

4,246,621

 

 

 

LBG CAPITAL NO.1 PLC BANK GUARANT

 

7.869% 25 Aug 2020

 

200,000

 

 

 

344,606

 

 

 

LBG CAPITAL NO.2 PLC BANK GUARANT

 

15% 21 Dec 2019

 

1,300,000

 

 

 

3,000,675

 

 

 

LBG CAPITAL NO.2 PLC BANK GUARANT REGS

 

7.625% 09 Dec 2019

 

50,000

 

 

 

84,932

 

 

 

LEHMAN BROTHERS HOLDINGS SR UNSECURED VAR

 

4.71% 31 Dec 2049

 

5,300,000

 

 

 

1,212,375

 

 

 

LEHMAN XS TRUST LXS 2006 4N A1B1

 

3.065% 25 Apr 2046

 

13,593

 

 

 

13,527

 

 

 

LONG BEACH MORTGAGE LOAN TRUST LBMLT 2004 4 1A1

 

5.61% 25 Oct 2034

 

3,092

 

 

 

2,748

 

 

 

LSI OPEN POSITION NET ASSET LSIOPNTA5

 

0% 31 Dec 2060

 

102,460

 

 

 

25,615

 

 

 

MASSACHUSETTS EDUCATIONAL FINA MEFA 2008 1 A1

 

1.26525% 25 Apr 2038

 

1,427,322

 

 

 

1,433,973

 

 

 

MASTR ALTERNATIVE LOANS TRUST MALT 2006 2 2A1

 

3.295% 25 Mar 2036

 

411,950

 

 

 

77,308

 

 

 

MERRILL LYNCH + CO SR UNSECURED VAR

 

1% 31 Jan 2014

 

800,000

 

 

 

1,047,292

 

 

 

MERRILL LYNCH + CO SR UNSECURED

 

6.15% 25 Apr 2013

 

2,800,000

 

 

 

2,844,948

 

 

 

MET LIFE GLOB FUNDING I SR SECURED 144A

 

2.5% 11 Jan 2013

 

1,425,000

 

 

 

1,425,648

 

 

 

MEXICAN PESO (NEW)

 

 

 

34,675

 

 

 

2,670

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 4 A3

 

5.172% 12 Dec 2049

 

7,626,000

 

 

 

8,676,992

 

 

148



Table of Contents

 

 

 

MORGAN STANLEY CAP SVCS BOC

 

SWAP CASH COLLATERAL USD

 

(670,000

)

 

 

(670,000

)

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2007 HQ11 A31

 

5.439% 12 Feb 2044

 

1,300,000

 

 

 

1,359,561

 

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2007 IQ16 A4

 

5.809% 12 Dec 2049

 

1,800,000

 

 

 

2,137,806

 

 

 

MORGAN STANLEY CAPITAL INC MSAC 2007 HE7 A2A

 

1.0042% 25 Jul 2037

 

808,861

 

 

 

769,811

 

 

 

MORGAN STANLEY MORTGAGE LOAN T MSM 2007 10XS A1

 

6% 25 Jul 2047

 

267,044

 

 

 

209,774

 

 

 

MORGAN STANLEY MORTGAGE LOAN T MSM 2007 8XS A1

 

5.75% 25 Apr 2037

 

143,832

 

 

 

109,345

 

 

 

MORGAN STANLEY SR UNSECURED VAR

 

1.845% 13 Apr 2016

 

1,700,000

 

 

 

2,130,180

 

 

 

MORGAN STANLEY SR UNSECURED VAR

 

2.87625% 14 May 2013

 

7,500,000

 

 

 

7,551,428

 

 

 

MORGAN STANLEY

 

TBA CASH COLLATERAL

 

(145,000

)

 

 

(145,000

)

 

 

NATIONAL AUSTRALIA BK LT SR UNSECURED

 

1.6% 07 Aug 2015

 

5,700,000

 

 

 

5,785,614

 

 

 

NBCUNIVERSAL MEDIA LLC SR UNSECURED

 

3.65% 30 Apr 2015

 

7,000,000

 

 

 

7,446,705

 

 

 

NCUA GUARANTEED NOTES NGN 2010 R2 1A

 

0.624% 06 Nov 2017

 

5,928,901

 

 

 

5,941,885

 

 

 

NEW JERSEY ST ECON DEV AUTH RE NJSDEV FLOATING VAR

 

1.48% 15 Jun 2013

 

3,000,000

 

 

 

3,006,150

 

 

 

* NEW YORK LIFE GLOBAL FDG SENIOR NOTES VAR

 

0.304% 20 Dec 2013

 

4,400,000

 

 

 

5,749,460

 

 

 

NISSAN MOTOR ACCEPTANCE SR UNSECURED 144A

 

3.25% 30 Jan 2013

 

2,000,000

 

 

 

2,003,324

 

 

 

NOVELIS INC TERM LOAN B

 

1% 10 Mar 2017

 

5,880,014

 

 

 

5,929,994

 

 

 

OGX AUSTRIA GMBH COMPANY GUAR 144A

 

8.5% 01 Jun 2018

 

3,000,000

 

 

 

2,700,000

 

 

 

ORANGE + ROCKLAND UTILIT SR UNSECURED 144A

 

2.5% 15 Aug 2015

 

400,000

 

 

 

411,774

 

 

 

PENNSYLVANIA ST ECON DEV FING PASDEV FIXED

 

5% 01 Jan 2016

 

1,400,000

 

 

 

1,576,582

 

 

 

PENNSYLVANIA ST ECON DEV FING PASDEV FIXED

 

4% 01 Jan 2017

 

1,300,000

 

 

 

1,459,835

 

 

 

PENSKE TRUCK LEASING/PTL SENIOR NOTES 144A

 

2.5% 15 Mar 2016

 

3,700,000

 

 

 

3,709,968

 

 

 

PFIZER INC SR UNSECURED

 

5.35% 15 Mar 2015

 

15,300,000

 

 

 

16,849,982

 

 

 

POUND STERLING

 

 

 

520

 

 

 

845

 

 

 

QUINTELES TRANSNATIONAL CORP NEW TLB

 

1% 08 Jun 2018

 

3,546,000

 

 

 

3,553,376

 

 

 

QWEST CORP SR UNSECURED VAR

 

1% 15 Jun 2013

 

2,500,000

 

 

 

2,519,238

 

 

 

RABOBANK NEDERLAND BANK GUARANT

 

1.85% 10 Jan 2014

 

3,000,000

 

 

 

3,039,882

 

 

 

RBSCF TRUST RBSCF 2010 RR3 JPMA 144A

 

5.42% 16 Jan 2049

 

2,000,000

 

 

 

2,317,944

 

 

 

REED ELSEVIER CAPITAL COMPANY GUAR 144A

 

3.125% 15 Oct 2022

 

335,000

 

 

 

328,856

 

 

 

REGIONS FINANCIAL CORP SR UNSECURED

 

4.875% 26 Apr 2013

 

3,100,000

 

 

 

3,131,000

 

 

 

REPUBLIC OF KOREA SR UNSECURED

 

4.25% 01 Jun 2013

 

6,275,000

 

 

 

6,360,986

 

 

 

RESIDENTIAL ACCREDIT LOANS, IN RALI 2006 QO6 A1

 

0.3842% 25 Jun 2046

 

770,265

 

 

 

351,458

 

 

 

RESIDENTIAL ACCREDIT LOANS, IN RALI 2006 QS7 A1

 

6% 25 Jun 2036

 

1,265,187

 

 

 

973,115

 

 

 

RESIDENTIAL ASSET SECURITIZATI RAST 2006 R1 A2

 

0.6042% 25 Jan 2046

 

906,841

 

 

 

405,997

 

 

 

ROCKIES EXPRESS PIPELINE SR UNSECURED 144A

 

6.25% 15 Jul 2013

 

750,000

 

 

 

766,875

 

 

 

ROYAL BK OF SCOTLAND PLC COMPANY GUAR VAR

 

1% 23 Aug 2013

 

7,100,000

 

 

 

7,177,255

 

 

 

SBERBANK (SB CAP SA) SR UNSECURED 144A

 

6.125% 07 Feb 2022

 

3,800,000

 

 

 

4,341,500

 

 

 

SL GREEN REALTY CORP SR UNSECURED

 

5% 15 Aug 2018

 

3,100,000

 

 

 

3,366,389

 

 

 

SLC STUDENT LOAN TRUST SLCLT 2008 2 A4

 

3.71875% 15 Jun 2021

 

5,600,000

 

 

 

5,687,539

 

 

 

SLH OPEN POSITION NET ASSET SLHOPNTA4

 

0.01% 31 Dec 2060

 

745,897

 

 

 

298,359

 

 

 

SLM CORP SR UNSECURED

 

8.45% 15 Jun 2018

 

1,500,000

 

 

 

1,755,000

 

 

 

SLM CORP SR UNSECURED

 

5% 01 Oct 2013

 

900,000

 

 

 

921,375

 

 

 

SLM STUDENT LOAN TRUST SLMA 2007 7 A4

 

0.6056% 25 Jan 2022

 

3,000,000

 

 

 

2,946,024

 

 

 

SLM STUDENT LOAN TRUST SLMA 2008 7 A2

 

0.801% 25 Oct 2017

 

3,047,826

 

 

 

3,060,929

 

 

 

SLM STUDENT LOAN TRUST SLMA 2008 9 A

 

1.801% 25 Apr 2023

 

5,621,148

 

 

 

5,857,719

 

 

 

SMALL BUSINESS ADMINISTRATION SBIC 2008 10B 1

 

5.725% 10 Sep 2018

 

380,515

 

 

 

425,011

 

 

 

SOCIETE GENERALE SCF COVERED VAR

 

1% 19 Jun 2013

 

2,000,000

 

 

 

2,003,566

 

 

 

SPRINGLEAF FINL FDG CO TERM LOAN B

 

1% 10 May 2017

 

11,300,000

 

 

 

11,225,307

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

600,076

 

 

 

600,076

 

 

 

STADSHYPOTEK AB COVERED 144A VAR

 

1% 30 Sep 2013

 

300,000

 

 

 

300,764

 

 

 

STANDARD CHARTERED PLC SR UNSECURED 144A

 

3.2% 12 May 2016

 

1,400,000

 

 

 

1,472,114

 

 

 

STANDARD CHARTERED PLC SR UNSECURED 144A

 

5.5% 18 Nov 2014

 

9,200,000

 

 

 

9,907,480

 

 

 

STRUCTURED ASSET MORTGAGE INVE SAMI 2006 AR3 11A1

 

0.4142% 25 Apr 2036

 

806,459

 

 

 

533,316

 

 

 

STRUCTURED ASSET MORTGAGE INVE SAMI 2006 AR5 1A1

 

3.345% 25 May 2046

 

1,802,905

 

 

 

1,020,623

 

 

 

SUNGARD DATA SYS INC TERM LOAN B

 

1% 28 Feb 2014

 

2,899,590

 

 

 

2,896,575

 

 

 

SWAP BARCLAYS COC

 

SWAP CASH COLLATERAL USD

 

670,000

 

 

 

670,000

 

 

 

SWAP CITIBANK BOC

 

SWAP CASH COLLATERAL USD

 

(1,990,000

)

 

 

(1,990,000

)

 

 

SWAP CSFB BOC

 

SWAP CASH COLLATERAL USD

 

(690,000

)

 

 

(690,000

)

 

 

SWAP DEUTSCHE COC

 

SWAP CASH COLLATERAL USD

 

1,000,000

 

 

 

1,000,000

 

 

 

SWAP JPM CHASE BOC

 

SWAP CASH COLLATERAL USD

 

(620,000

)

 

 

(620,000

)

 

 

SWAP MORGAN STANLEY BOC

 

SWAP CASH COLLATERAL USD

 

(305,000

)

 

 

(305,000

)

 

 

SWAP UBS COC

 

SWAP CASH COLLATERAL USD

 

270,000

 

 

 

270,000

 

 

 

SWPC002W5 CDS JPY P V CORPORATE

 

1% 20 Sep 2013

 

(30,000,000

)

 

 

(346,961

)

 

 

SWPC002W5 CDS JPY R F CORPORATE

 

1% 20 Sep 2013

 

30,000,000

 

 

 

342,868

 

 

 

SWPC003W4 CDS JPY P V 03MEVENT CORPORATE

 

1% 20 Sep 2013

 

(30,000,000

)

 

 

(346,961

)

 

 

SWPC003W4 CDS JPY R F CORPORATE

 

1% 20 Sep 2013

 

30,000,000

 

 

 

342,868

 

 

 

SWPC024K5 CDS USD P V

 

1% 20 Dec 2015

 

(8,950,000

)

 

 

(8,950,000

)

 

 

SWPC024K5 CDS USD R F

 

1% 20 Dec 2015

 

8,950,000

 

 

 

9,125,545

 

 

 

SWPC024W9 CDS JPY P V CORPORATE

 

1% 20 Sep 2013

 

(40,000,000

)

 

 

(462,615

)

 

 

SWPC024W9 CDS JPY R F CORPORATE

 

1% 20 Sep 2013

 

40,000,000

 

 

 

457,157

 

 

 

SWPC034S6 CDS EUR P F ITRAXX

 

1% 20 Jun 2017

 

(5,500,000

)

 

 

(7,251,201

)

 

 

SWPC034S6 CDS EUR R V ITRAXX

 

1% 20 Jun 2017

 

5,500,000

 

 

 

7,407,791

 

 

 

SWPC036S4 CDS EUR P F ITRAXX

 

1% 20 Jun 2017

 

(9,100,000

)

 

 

(11,997,442

)

 

 

SWPC036S4 CDS EUR R V DJ ITRAXX17SEN2 BP BRC

 

1% 20 Jun 2017

 

9,100,000

 

 

 

12,256,527

 

 

 

SWPC038Q6 CDS USD P F

 

1% 20 Jun 2013

 

(2,500,000

)

 

 

(2,500,000

)

 

 

SWPC038Q6 CDS USD R V

 

1% 20 Jun 2013

 

2,500,000

 

 

 

2,491,750

 

 

 

SWPC108S7 CDS EUR P F ITRAXX

 

1% 20 Jun 2017

 

(27,500,000

)

 

 

(36,256,007

)

 

 

SWPC108S7 CDS EUR R V ITRAXX

 

1% 20 Jun 2017

 

27,500,000

 

 

 

36,439,064

 

 

 

SWPC142R7 CDS USD P V CORPORATE

 

1% 20 Jun 2013

 

(1,200,000

)

 

 

(1,200,000

)

 

 

SWPC142R7 CDS USD R F CORPORATE

 

1% 20 Jun 2013

 

1,200,000

 

 

 

1,204,574

 

 

 

SWPC157L2 CDS USD P V

 

1% 20 Mar 2014

 

(3,200,000

)

 

 

(3,200,000

)

 

149



Table of Contents

 

 

 

SWPC157L2 CDS USD R F

 

1% 20 Mar 2014

 

3,200,000

 

 

 

3,225,325

 

 

 

SWPC26AR2 CDS USD P V

 

1% 20 Mar 2021

 

(3,600,000

)

 

 

(3,600,000

)

 

 

SWPC26AR2 CDS USD R F

 

0.98% 20 Mar 2021

 

3,600,000

 

 

 

3,650,951

 

 

 

SWPC404H2 CDS USD P V 03MEVENT

 

1% 20 Jun 2015

 

(300,000

)

 

 

(300,000

)

 

 

SWPC404H2 CDS USD R F

 

5% 20 Jun 2015

 

300,000

 

 

 

334,765

 

 

 

SWPC410H4 CDS USD P V

 

1% 20 Jun 2015

 

(700,000

)

 

 

(700,000

)

 

 

SWPC410H4 CDS USD R F

 

5% 20 Jun 2015

 

700,000

 

 

 

781,119

 

 

 

SWPC423H9 CDS USD P V

 

1% 20 Jun 2015

 

(4,700,000

)

 

 

(4,700,000

)

 

 

SWPC423H9 CDS USD R F

 

5% 20 Jun 2015

 

4,700,000

 

 

 

5,244,655

 

 

 

SWPC450M4 CDS JPY P V

 

1% 20 Jun 2013

 

(177,000,000

)

 

 

(2,047,071

)

 

 

SWPC450M4 CDS JPY R F

 

1% 20 Jun 2013

 

177,000,000

 

 

 

2,033,673

 

 

 

SWPC528K6 CDS USD P V

 

1% 20 Mar 2016

 

(500,000

)

 

 

(500,000

)

 

 

SWPC528K6 CDS USD R F

 

1% 20 Mar 2016

 

500,000

 

 

 

498,065

 

 

 

SWPC530K2 CDS USD P V

 

1% 20 Mar 2016

 

(5,000,000

)

 

 

(5,000,000

)

 

 

SWPC530K2 CDS USD R F

 

1% 20 Mar 2016

 

5,000,000

 

 

 

4,980,650

 

 

 

SWPC606R6 CDS USD P F ABX

 

0.09% 25 Aug 2037

 

(3,019,137

)

 

 

(3,019,137

)

 

 

SWPC606R6 CDS USD R V ABX

 

1% 25 Aug 2037

 

3,019,137

 

 

 

4,513,610

 

 

 

SWPC691B7 CDS USD P F

 

1.2% 20 Sep 2018

 

(6,000,000

)

 

 

(6,000,000

)

 

 

SWPC691B7 CDS USD R V

 

1% 20 Sep 2018

 

6,000,000

 

 

 

5,774,550

 

 

 

SWPC764T0 CDS EUR P F ITRAXX

 

1% 20 Jun 2017

 

(10,600,000

)

 

 

(13,975,043

)

 

 

SWPC764T0 CDS EUR R V ITRAXX

 

1% 20 Jun 2017

 

10,600,000

 

 

 

14,045,603

 

 

 

SWPC979K0 CDS USD P F ABX

 

0.09% 25 Aug 2037

 

(4,574,450

)

 

 

(4,574,450

)

 

 

SWPC979K0 CDS USD R V ABX

 

1% 25 Aug 2037

 

4,574,450

 

 

 

6,838,803

 

 

 

SWU0006O9 IRS CAD P V SWUV006O1

 

1% 15 Dec 2016

 

(25,000,000

)

 

 

(25,107,964

)

 

 

SWU0006O9 IRS CAD R F

 

2.25% 15 Dec 2016

 

25,000,000

 

 

 

25,333,610

 

 

 

SWU0083W7 IRS CAD P V SWUV083W9

 

1% 16 Jun 2016

 

(45,000,000

)

 

 

(45,194,336

)

 

 

SWU0083W7 IRS CAD R F

 

2% 16 Jun 2016

 

45,000,000

 

 

 

45,480,371

 

 

 

SWU0341V7 IRS USD P V 03MLIBOR

 

1% 20 Jun 2016

 

(41,200,000

)

 

 

(41,200,000

)

 

 

SWU0341V7 IRS USD R F

 

1.25% 20 Jun 2016

 

41,200,000

 

 

 

42,209,318

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

2.582% 26 Apr 2013

 

4,950,000

 

 

 

4,967,325

 

 

 

TEXAS ST TRANSPRTN COMMISSION TXSTRN FIXED

 

5.028% 01 Apr 2026

 

7,000,000

 

 

 

8,521,800

 

 

 

TOKYO ELECTRIC POWER CO GENL REF MOR

 

4.5% 24 Mar 2014

 

100,000

 

 

 

133,723

 

 

 

TOTAL CAPITAL SA COMPANY GUAR

 

3% 24 Jun 2015

 

5,000,000

 

 

 

5,281,250

 

 

 

TRANSNEFT(TRANS CAP INV) SR UNSECURED REGS

 

5.67% 05 Mar 2014

 

500,000

 

 

 

522,625

 

 

 

TRANSOCEAN INC COMPANY GUAR

 

4.95% 15 Nov 2015

 

5,300,000

 

 

 

5,803,103

 

 

 

TREASURY BILL

 

0.01% 07 Feb 2013

 

608,000

 

 

 

607,982

 

 

 

TREASURY BILL

 

0.01% 02 May 2013

 

590,000

 

 

 

589,823

 

 

 

TREASURY BILL

 

0.01% 30 May 2013

 

4,203,000

 

 

 

4,201,142

 

 

 

TREASURY BILL

 

0% 27 Jun 2013

 

73,000

 

 

 

72,959

 

 

 

TREASURY BILL

 

0.01% 25 Jul 2013

 

472,000

 

 

 

471,659

 

 

 

TSY 1 7/8 2022 I/L GILT BONDS

 

2.250281% 22 Nov 2022

 

5,492,400

 

 

 

11,480,209

 

 

 

TSY INFL IX N/B

 

0.125% 15 Jan 2022

 

28,821,246

 

 

 

31,298,086

 

 

 

TSY INFL IX N/B

 

0.125% 15 Jul 2022

 

22,733,340

 

 

 

24,678,109

 

 

 

UBS AG STAMFORD CT SR UNSECURED

 

2.25% 12 Aug 2013

 

6,500,000

 

 

 

6,562,179

 

 

 

US BANCORP SR UNSECURED

 

1.375% 13 Sep 2013

 

6,000,000

 

 

 

6,035,064

 

 

 

US DOLLAR

 

 

 

88,514

 

 

 

88,514

 

 

 

US TREASURY N/B

 

1% 31 Aug 2019

 

46,890,000

 

 

 

46,615,271

 

 

 

US TREASURY N/B

 

1.625% 15 Aug 2022

 

61,200,000

 

 

 

60,798,406

 

 

 

US TREASURY N/B

 

0.75% 15 Sep 2013

 

7,200,000

 

 

 

7,230,096

 

 

 

US TREASURY N/B

 

0.625% 30 Sep 2017

 

8,200,000

 

 

 

8,185,265

 

 

 

US TREASURY N/B

 

0.5% 15 Oct 2013

 

4,600,000

 

 

 

4,611,859

 

 

 

US TREASURY N/B

 

0.75% 31 Oct 2017

 

4,900,000

 

 

 

4,916,077

 

 

 

US TREASURY N/B

 

1% 30 Nov 2019

 

66,400,000

 

 

 

65,756,717

 

 

 

WACHOVIA CORP SUBORDINATED

 

5.25% 01 Aug 2014

 

1,300,000

 

 

 

1,386,242

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2003 AR9 2A

 

2.7799% 25 Sep 2033

 

521,326

 

 

 

523,044

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR7 A2

 

2.78311% 25 Aug 2035

 

2,120,220

 

 

 

2,122,381

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2006 AR9 1A

 

1% 25 Aug 2046

 

1,484,563

 

 

 

1,175,407

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2006 AR9 2A

 

2.776% 25 Aug 2046

 

1,106,422

 

 

 

995,469

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2007 OA6 1A

 

4.886% 25 Jul 2047

 

533,800

 

 

 

422,309

 

 

 

WELLPOINT INC SR UNSECURED

 

1.875% 15 Jan 2018

 

1,800,000

 

 

 

1,822,354

 

 

 

WELLPOINT INC SR UNSECURED

 

1.25% 10 Sep 2015

 

1,600,000

 

 

 

1,612,653

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

1.5% 01 Jul 2015

 

4,500,000

 

 

 

4,577,531

 

 

 

WELLS FARGO BANK NA SUBORDINATED VAR

 

1.4475% 16 May 2016

 

5,400,000

 

 

 

5,285,207

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2003 M A1

 

4.7043% 25 Dec 2033

 

368,690

 

 

 

380,659

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2003 N 1A1

 

4.562396% 25 Dec 2033

 

781,551

 

 

 

800,943

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2005 AR16 2A1

 

2.995432% 25 Oct 2035

 

1,663,137

 

 

 

1,641,062

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2006 AR2 2A1

 

2.641122% 25 Mar 2036

 

711,361

 

 

 

696,031

 

 

 

WESTPAC BANKING CORP GOVT LIQUID 144A

 

2.9% 10 Sep 2014

 

23,700,000

 

 

 

24,672,411

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5736 7 of 15

 

 

 

 

 

$1,343,664,696

 

 

150



Table of Contents

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

ABBVIE INC COMPANY GUAR 144A

 

1.2% 06 Nov 2015

 

5,495,000

 

 

 

$

5,531,712

 

 

 

ALLTEL CORPORATION SR UNSECURED

 

7% 15 Mar 2016

 

1,800,000

 

 

 

2,135,117

 

 

 

AMAZON.COM INC SR UNSECURED

 

0.65% 27 Nov 2015

 

4,820,000

 

 

 

4,817,094

 

 

 

AMERICAN EXPRESS CREDIT SR UNSECURED

 

1.75% 12 Jun 2015

 

5,780,000

 

 

 

5,901,056

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

3% 20 Mar 2015

 

2,750,000

 

 

 

2,861,419

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

1.5% 14 Jul 2014

 

2,800,000

 

 

 

2,840,443

 

 

 

AT+T INC SR UNSECURED

 

0.875% 13 Feb 2015

 

3,860,000

 

 

 

3,878,096

 

 

 

AT+T INC SR UNSECURED

 

2.5% 15 Aug 2015

 

1,675,000

 

 

 

1,746,318

 

 

 

BAE SYSTEMS HOLDINGS INC COMPANY GUAR 144A

 

5.2% 15 Aug 2015

 

2,335,000

 

 

 

2,557,035

 

 

 

BANK OF AMERICA CORP SENIOR NOTES

 

1.5% 09 Oct 2015

 

900,000

 

 

 

904,602

 

 

 

BANK OF NOVA SCOTIA SR UNSECURED

 

1.85% 12 Jan 2015

 

1,205,000

 

 

 

1,234,015

 

 

 

BANK OF NOVA SCOTIA SR UNSECURED

 

0.75% 09 Oct 2015

 

2,950,000

 

 

 

2,933,840

 

 

 

BARRICK GOLD CORP SR UNSECURED

 

1.75% 30 May 2014

 

3,320,000

 

 

 

3,366,370

 

 

 

BHP BILLITON FIN USA LTD COMPANY GUAR

 

1.125% 21 Nov 2014

 

5,500,000

 

 

 

5,566,319

 

*

 

BLACKROCK INC SR UNSECURED

 

1.375% 01 Jun 2015

 

2,245,000

 

 

 

2,280,029

 

 

 

BOTTLING GROUP LLC COMPANY GUAR

 

6.95% 15 Mar 2014

 

5,065,000

 

 

 

5,446,313

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.875% 10 Mar 2015

 

6,677,000

 

 

 

7,113,342

 

 

 

CAPITAL ONE FINANCIAL CO SR UNSECURED

 

1% 06 Nov 2015

 

3,320,000

 

 

 

3,308,785

 

 

 

CATERPILLAR FINANCIAL SE SR UNSECURED

 

1.375% 20 May 2014

 

5,000,000

 

 

 

5,060,730

 

 

 

CATERPILLAR FINANCIAL SE SR UNSECURED

 

5.85% 01 Sep 2017

 

1,200,000

 

 

 

1,440,958

 

 

 

CISCO SYSTEMS INC SR UNSECURED

 

1.625% 14 Mar 2014

 

1,935,000

 

 

 

1,963,955

 

 

 

CITIGROUP INC NOTES 10/14 5.5

 

5.5% 15 Oct 2014

 

4,250,000

 

 

 

4,559,574

 

 

 

CITIGROUP INC SR UNSECURED

 

6.375% 12 Aug 2014

 

2,200,000

 

 

 

2,377,430

 

 

 

CNA FINANCIAL CORP SR UNSECURED

 

5.85% 15 Dec 2014

 

2,860,000

 

 

 

3,105,051

 

 

 

COCA COLA AMATIL LTD COMPANY GUAR 144A

 

3.25% 02 Nov 2014

 

3,000,000

 

 

 

3,105,948

 

 

 

COMCAST CABLE COMMUNICAT COMPANY GUAR

 

7.125% 15 Jun 2013

 

3,000,000

 

 

 

3,088,224

 

 

 

CONAGRA FOODS INC SR UNSECURED

 

1.35% 10 Sep 2015

 

1,415,000

 

 

 

1,414,956

 

 

 

COSTCO WHOLESALE CORP SR UNSECURED

 

0.65% 07 Dec 2015

 

3,355,000

 

 

 

3,356,845

 

 

 

COVIDIEN INTL FINANCE SA COMPANY GUAR

 

1.35% 29 May 2015

 

2,770,000

 

 

 

2,807,484

 

 

 

DELL INC SR UNSECURED

 

1.4% 10 Sep 2013

 

2,040,000

 

 

 

2,051,138

 

 

 

DOMINION RESOURCES INC SR UNSECURED

 

1.8% 15 Mar 2014

 

2,000,000

 

 

 

2,026,212

 

 

 

EATON CORP COMPANY GUAR 144A

 

0.95% 02 Nov 2015

 

2,420,000

 

 

 

2,427,362

 

 

 

EBAY INC SR UNSECURED

 

0.7% 15 Jul 2015

 

1,205,000

 

 

 

1,209,510

 

 

 

ECOLAB INC SR UNSECURED

 

2.375% 08 Dec 2014

 

3,925,000

 

 

 

4,051,530

 

 

 

ENTERGY LOUISIANA LLC 1ST MORTGAGE

 

1.875% 15 Dec 2014

 

3,070,000

 

 

 

3,136,668

 

 

 

EXPRESS SCRIPTS HOLDING COMPANY GUAR

 

6.25% 15 Jun 2014

 

2,740,000

 

 

 

2,950,646

 

 

 

EXPRESS SCRIPTS HOLDING COMPANY GUAR 144A

 

2.1% 12 Feb 2015

 

2,260,000

 

 

 

2,302,160

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

1.625% 02 Jul 2015

 

4,640,000

 

 

 

4,716,996

 

 

 

GENERAL ELECTRIC CO SR UNSECURED

 

0.85% 09 Oct 2015

 

4,835,000

 

 

 

4,852,043

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

3.3% 03 May 2015

 

2,800,000

 

 

 

2,918,320

 

 

 

GOOGLE INC SR UNSECURED

 

1.25% 19 May 2014

 

1,315,000

 

 

 

1,331,234

 

 

 

HEINEKEN NV SENIOR NOTES 144A

 

0.8% 01 Oct 2015

 

2,145,000

 

 

 

2,149,011

 

 

 

HEWLETT PACKARD CO SR UNSECURED

 

6.125% 01 Mar 2014

 

2,330,000

 

 

 

2,449,336

 

 

 

HOSPITALITY PROP TRUST SR UNSECURED

 

7.875% 15 Aug 2014

 

1,745,000

 

 

 

1,862,828

 

 

 

HSBC USA INC SR UNSECURED

 

2.375% 13 Feb 2015

 

820,000

 

 

 

843,473

 

 

 

JOHN DEERE CAPITAL CORP SR UNSECURED

 

0.7% 04 Sep 2015

 

3,000,000

 

 

 

2,999,916

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

1.1% 15 Oct 2015

 

2,935,000

 

 

 

2,934,909

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

1.625% 04 Jun 2015

 

3,690,000

 

 

 

3,755,568

 

 

 

MERRILL LYNCH + CO SR UNSECURED

 

5.45% 05 Feb 2013

 

2,700,000

 

 

 

2,711,721

 

 

 

METLIFE INC SR UNSECURED

 

2.375% 06 Feb 2014

 

4,000,000

 

 

 

4,074,880

 

 

 

MORGAN STANLEY SR UNSECURED

 

6% 28 Apr 2015

 

2,550,000

 

 

 

2,777,480

 

 

 

NCUA GUARANTEED NOTES US GOVT GUAR

 

1.4% 12 Jun 2015

 

3,065,000

 

 

 

3,135,403

 

 

 

PETROHAWK ENERGY CORP COMPANY GUAR

 

6.25% 01 Jun 2019

 

1,650,000

 

 

 

1,878,848

 

 

 

PPL ENERGY SUPPLY LLC SR UNSECURED

 

5.4% 15 Aug 2014

 

2,720,000

 

 

 

2,900,015

 

 

 

PRECISION CASTPARTS CORP SR UNSECURED

 

0.7% 20 Dec 2015

 

2,500,000

 

 

 

2,502,123

 

*

 

PRUDENTIAL FINANCIAL INC SR UNSECURED

 

2.75% 14 Jan 2013

 

6,000,000

 

 

 

6,005,658

 

 

 

PUB SVC ELEC + GAS 1ST REF MORT

 

6.33% 01 Nov 2013

 

1,000,000

 

 

 

1,047,765

 

 

 

PUB SVC ELEC + GAS SR SECURED

 

0.85% 15 Aug 2014

 

5,000,000

 

 

 

5,019,190

 

 

 

REYNOLDS AMERICAN INC COMPANY GUAR

 

1.05% 30 Oct 2015

 

1,520,000

 

 

 

1,519,530

 

 

 

ROCHE HLDGS INC COMPANY GUAR 144A

 

5% 01 Mar 2014

 

1,870,000

 

 

 

1,964,353

 

 

 

ROYAL BANK OF CANADA SR UNSECURED

 

0.8% 30 Oct 2015

 

5,205,000

 

 

 

5,199,014

 

 

 

SABMILLER HOLDINGS INC COMPANY GUAR 144A

 

1.85% 15 Jan 2015

 

3,990,000

 

 

 

4,068,551

 

 

 

SANOFI SR UNSECURED

 

1.625% 28 Mar 2014

 

5,000,000

 

 

 

5,070,530

 

 

 

SEMPRA ENERGY SR UNSECURED

 

2% 15 Mar 2014

 

2,000,000

 

 

 

2,030,260

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

10,765,774

 

 

 

10,765,774

 

 

 

STATOIL ASA COMPANY GUAR

 

3.875% 15 Apr 2014

 

760,000

 

 

 

791,729

 

 

 

SUMITOMO MITSUI BANKING SR UNSECURED 144A

 

2.15% 22 Jul 2013

 

3,500,000

 

 

 

3,522,936

 

 

 

TESCO PLC SR UNSECURED 144A

 

2% 05 Dec 2014

 

1,000,000

 

 

 

1,021,858

 

 

 

TEVA PHARM FIN III COMPANY GUAR

 

1.7% 21 Mar 2014

 

4,000,000

 

 

 

4,056,132

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

7.5% 01 Apr 2014

 

1,525,000

 

 

 

1,652,420

 

 

 

TRANS CANADA PIPELINES SR UNSECURED

 

0.875% 02 Mar 2015

 

3,920,000

 

 

 

3,942,207

 

 

 

TYCO ELECTRONICS GROUP S COMPANY GUAR

 

1.6% 03 Feb 2015

 

2,000,000

 

 

 

2,029,616

 

 

 

UNILEVER NV COMPANY GUAR

 

3.125% 11 Feb 2013

 

931,000

 

 

 

933,575

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

0.85% 15 Oct 2015

 

2,525,000

 

 

 

2,533,259

 

 

 

US TREASURY N/B

 

0.25% 31 Jan 2014

 

26,940,000

 

 

 

26,956,838

 

 

 

US TREASURY N/B

 

0.25% 28 Feb 2014

 

7,005,000

 

 

 

7,008,832

 

 

 

US TREASURY N/B

 

1.875% 28 Feb 2014

 

4,450,000

 

 

 

4,535,698

 

 

 

US TREASURY N/B

 

4% 15 Feb 2014

 

24,350,000

 

 

 

25,382,026

 

 

 

US TREASURY N/B

 

11.25% 15 Feb 2015

 

8,700,000

 

 

 

10,711,875

 

 

 

US TREASURY N/B

 

2.375% 28 Feb 2015

 

48,770,000

 

 

 

50,964,650

 

 

 

US TREASURY N/B

 

4% 15 Feb 2015

 

46,435,000

 

 

 

50,077,269

 

 

 

US TREASURY N/B

 

0.25% 31 Mar 2014

 

64,480,000

 

 

 

64,510,241

 

 

151



Table of Contents

 

 

 

US TREASURY N/B

 

0.25% 30 Apr 2014

 

16,730,000

 

 

 

16,737,194

 

 

 

US TREASURY N/B

 

1.875% 30 Apr 2014

 

12,830,000

 

 

 

13,111,157

 

 

 

US TREASURY N/B

 

2.25% 31 May 2014

 

13,080,000

 

 

 

13,451,969

 

 

 

US TREASURY N/B

 

4.125% 15 May 2015

 

66,190,000

 

 

 

72,141,937

 

 

 

US TREASURY N/B

 

0.25% 30 Jun 2014

 

40,225,000

 

 

 

40,240,728

 

 

 

US TREASURY N/B

 

0.125% 31 Jul 2014

 

4,800,000

 

 

 

4,791,936

 

 

 

US TREASURY N/B

 

1.75% 31 Jul 2015

 

68,050,000

 

 

 

70,538,044

 

 

 

US TREASURY N/B

 

0.25% 31 Aug 2014

 

860,000

 

 

 

860,235

 

 

 

US TREASURY N/B

 

0.5% 15 Aug 2014

 

2,910,000

 

 

 

2,922,731

 

 

 

US TREASURY N/B

 

4.25% 15 Aug 2014

 

67,640,000

 

 

 

72,020,772

 

 

 

US TREASURY N/B

 

4.25% 15 Aug 2015

 

38,365,000

 

 

 

42,270,442

 

 

 

US TREASURY N/B

 

0.25% 15 Sep 2014

 

1,800,000

 

 

 

1,800,421

 

 

 

US TREASURY N/B

 

0.25% 31 Oct 2014

 

5,735,000

 

 

 

5,736,342

 

 

 

US TREASURY N/B

 

0.5% 15 Oct 2014

 

10,195,000

 

 

 

10,241,194

 

 

 

US TREASURY N/B

 

1.25% 31 Oct 2015

 

16,005,000

 

 

 

16,411,383

 

 

 

US TREASURY N/B

 

4.25% 15 Nov 2014

 

101,255,000

 

 

 

108,773,994

 

 

 

US TREASURY N/B

 

4.5% 15 Nov 2015

 

35,375,000

 

 

 

39,553,672

 

 

 

US TREASURY N/B

 

0.25% 15 Dec 2015

 

3,995,000

 

 

 

3,983,139

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

1.95% 28 Mar 2014

 

8,975,000

 

 

 

9,137,268

 

 

 

VOLKSWAGEN INTL FIN NV COMPANY GUAR 144A

 

1.15% 20 Nov 2015

 

3,670,000

 

 

 

3,675,076

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

4.375% 31 Jan 2013

 

2,215,000

 

 

 

2,221,583

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

1.5% 01 Jul 2015

 

3,030,000

 

 

 

3,082,204

 

 

 

WYETH LLC COMPANY GUAR

 

5.5% 01 Feb 2014

 

5,175,000

 

 

 

5,455,589

 

 

 

XSTRATA FINANCE CANADA COMPANY GUAR 144A

 

1.8% 23 Oct 2015

 

1,965,000

 

 

 

1,975,670

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5737 8 of 15

 

 

 

 

 

$1,032,108,853

 

 

 

 

 

 

 

 

 

 

 

 

 

(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) Fair
value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2007 3 A2

 

5.657894% 10 Jun 2049

 

703,217

 

 

 

$

703,019

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2007 3 A2FL 144A

 

0.43125% 10 Jun 2049

 

703,217

 

 

 

703,285

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2003 4 1A1

 

2.366455% 25 Jul 2033

 

1,564,705

 

 

 

1,557,846

 

 

 

BEAR STEARNS ADJUSTABLE RATE M BSARM 2004 12 1A1

 

2.789449% 25 Feb 2035

 

1,084,636

 

 

 

886,929

 

 

 

BEAR STEARNS COMMERCIAL MORTGA BSCMS 2007 PW15 A4

 

5.331% 11 Feb 2044

 

4,700,000

 

 

 

5,320,080

 

 

 

CD COMMERCIAL MORTGAGE TRUST CD 2007 CD4 A2B

 

5.205% 11 Dec 2049

 

488,527

 

 

 

495,504

 

 

 

CITIGROUP MORTGAGE LOAN TRUST CMLTI 2006 AR7 2A2A

 

5.580749% 25 Nov 2036

 

2,680,293

 

 

 

1,800,452

 

 

 

CITIGROUP REPO REPO 5807

 

0.27% 02 Jan 2013

 

34,000,000

 

 

 

34,000,000

 

 

 

CITIGROUP SAL CASH COLL (BROKER)

 

1% 31 Dec 2030

 

(70,000

)

 

 

(70,000

)

 

 

COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2005 46CB A2

 

5.5% 25 Oct 2035

 

6,511,083

 

 

 

5,957,446

 

 

 

COUNTRYWIDE HOME LOANS CWHL 2007 4 1A1

 

6% 25 May 2037

 

5,974,701

 

 

 

5,419,257

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2007 C3 A4

 

5.715912% 15 Jun 2039

 

6,900,000

 

 

 

7,943,880

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2010 RR6 A 144A

 

5.782835% 12 Apr 2049

 

6,237,166

 

 

 

6,478,226

 

 

 

CS FIRST BOSTON COMMERCIAL MOR CSFB 2003 8 3A4

 

5.5% 25 Apr 2033

 

2,252,213

 

 

 

2,364,279

 

 

 

CS FIRST BOSTON COMMERCIAL MOR CSFB 2003 8 4PPA

 

5.75% 22 Apr 2033

 

863,482

 

 

 

904,503

 

 

 

FANNIE MAE BENCHMARK REMIC FNBR 2007 B2 ZA

 

5.5% 25 Jun 2037

 

16,981,260

 

 

 

19,599,397

 

 

 

FANNIE MAE FNR 1999 32 ZA

 

6.5% 25 Jul 2029

 

1,984,978

 

 

 

2,322,303

 

 

 

FANNIE MAE FNR 1999 45 ZG

 

6.5% 25 Sep 2029

 

2,562,618

 

 

 

2,925,662

 

 

 

FANNIE MAE FNR 2001 41 Z

 

6% 25 Sep 2031

 

5,843,690

 

 

 

6,579,533

 

 

 

FANNIE MAE FNR 2003 80 YS

 

8.3958% 25 Aug 2023

 

3,809,575

 

 

 

4,413,241

 

 

 

FANNIE MAE FNR 2004 19 AB

 

4% 25 Oct 2017

 

54,212

 

 

 

54,190

 

 

 

FANNIE MAE FNR 2006 30 KF

 

1% 25 May 2036

 

3,017,988

 

 

 

3,037,512

 

 

 

FANNIE MAE FNR 2007 22 SW

 

5.806% 25 Mar 2037

 

12,436,285

 

 

 

1,802,469

 

 

 

FANNIE MAE FNR 2007 74 AC

 

5% 25 Aug 2037

 

20,000,000

 

 

 

21,774,840

 

 

 

FANNIE MAE FNR 2009 47 MT

 

7% 25 Jul 2039

 

4,274,582

 

 

 

4,765,363

 

 

 

FANNIEMAE WHOLE LOAN FNW 2007 W9 AC

 

7.11557% 25 Aug 2037

 

3,563,052

 

 

 

4,102,786

 

 

 

FED HM LN PC POOL A43389

 

5.5% 01 Feb 2036

 

547,778

 

 

 

592,780

 

 

 

FED HM LN PC POOL B14914

 

5% 01 Jun 2019

 

18,620

 

 

 

20,033

 

 

 

FED HM LN PC POOL B15130

 

5% 01 Jun 2019

 

369,132

 

 

 

399,218

 

 

 

FED HM LN PC POOL B15170

 

5% 01 Jul 2019

 

128,168

 

 

 

137,893

 

 

 

FED HM LN PC POOL B15591

 

5% 01 Jul 2019

 

90,233

 

 

 

97,080

 

 

 

FED HM LN PC POOL C91030

 

5.5% 01 May 2027

 

471,862

 

 

 

510,922

 

 

 

FED HM LN PC POOL C91441

 

3% 01 Apr 2032

 

78,332

 

 

 

82,277

 

 

 

FED HM LN PC POOL E01479

 

3.5% 01 Sep 2018

 

3,474,838

 

 

 

3,674,422

 

 

 

FED HM LN PC POOL G01818

 

5% 01 May 2035

 

659,337

 

 

 

711,959

 

 

 

FED HM LN PC POOL G01827

 

4.5% 01 Jun 2035

 

4,109,092

 

 

 

4,417,137

 

 

 

FED HM LN PC POOL G01838

 

5% 01 Jul 2035

 

3,030,851

 

 

 

3,276,533

 

 

 

FED HM LN PC POOL G02123

 

5.5% 01 Mar 2036

 

133,850

 

 

 

145,306

 

 

 

FED HM LN PC POOL G02254

 

5.5% 01 Mar 2036

 

84,604

 

 

 

91,845

 

 

 

FED HM LN PC POOL G04092

 

5.5% 01 Mar 2038

 

370,334

 

 

 

399,832

 

 

 

FED HM LN PC POOL G05267

 

5.5% 01 Dec 2038

 

1,898,238

 

 

 

2,049,441

 

 

 

FED HM LN PC POOL G06193

 

5.5% 01 May 2040

 

1,453,787

 

 

 

1,570,496

 

 

 

FED HM LN PC POOL G06872

 

5.5% 01 Sep 2039

 

2,474,446

 

 

 

2,700,346

 

 

 

FED HM LN PC POOL G08105

 

5.5% 01 Jan 2036

 

48,987

 

 

 

53,180

 

 

 

FED HM LN PC POOL Q05066

 

4% 01 Dec 2041

 

3,860,551

 

 

 

4,127,390

 

 

 

FED HM LN PC POOL Q11239

 

3% 01 Sep 2042

 

199,249

 

 

 

208,509

 

 

152



Table of Contents

 

 

 

FEDERAL NATL MTG ASSN GTD REMIC TR 2005 84 CL SG

 

0% 25 Oct 2035

 

19,539,659

 

 

 

3,918,794

 

 

 

FEDERAL NATL MTG ASSN SER 2004 88 CL HJ

 

6.8958% 25 Oct 2034

 

11,057,098

 

 

 

2,543,507

 

 

 

FEDERAL NATL MTG ASSN SER 2007 116 CL IA

 

6.2958% 25 May 2037

 

7,098,348

 

 

 

1,218,434

 

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

5% 01 Dec 2099

 

4,000,000

 

 

 

4,303,750

 

 

 

FHLMC GOLD TBA 30 YR

 

4% 01 Dec 2099

 

36,000,000

 

 

 

38,430,000

 

 

 

FNMA TBA FEB 30 SINGLE FAM

 

5% 01 Dec 2099

 

3,000,000

 

 

 

3,249,844

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

4.5% 01 Dec 2099

 

21,000,000

 

 

 

22,684,101

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

5% 01 Dec 2099

 

(75,000,000

)

 

 

(81,234,375

)

 

 

FNMA TBA JAN 30 SINGLE FAM

 

5% 01 Dec 2099

 

20,000,000

 

 

 

21,662,500

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

5.5% 01 Dec 2099

 

(5,000,000

)

 

 

(5,432,031

)

 

 

FNMA TBA FEB 30 SINGLE FAM

 

5.5% 01 Dec 2099

 

5,000,000

 

 

 

5,434,375

 

 

 

FNMA POOL 251890

 

6.5% 01 Aug 2018

 

83,648

 

 

 

93,134

 

 

 

FNMA POOL 254634

 

5.5% 01 Feb 2023

 

1,470,886

 

 

 

1,611,031

 

 

 

FNMA POOL 255059

 

5.5% 01 Dec 2033

 

4,246,619

 

 

 

4,584,084

 

 

 

FNMA POOL 256101

 

5.5% 01 Feb 2036

 

913,220

 

 

 

997,948

 

 

 

FNMA POOL 429715

 

6.5% 01 Apr 2018

 

96,107

 

 

 

107,006

 

 

 

FNMA POOL 457274

 

2.445% 01 Oct 2028

 

20,040

 

 

 

21,496

 

 

 

FNMA POOL 468551

 

3.98% 01 Jul 2021

 

6,750,000

 

 

 

7,561,320

 

 

 

FNMA POOL 469086

 

3.15% 01 Sep 2018

 

3,825,000

 

 

 

4,188,879

 

 

 

FNMA POOL 469616

 

3.5% 01 Nov 2021

 

4,913,445

 

 

 

5,334,094

 

 

 

FNMA POOL 499479

 

6.5% 01 Jun 2029

 

129,591

 

 

 

152,578

 

 

 

FNMA POOL 526993

 

5.385% 01 Nov 2028

 

457,921

 

 

 

485,234

 

 

 

FNMA POOL 555811

 

4% 01 Oct 2018

 

3,269,902

 

 

 

3,503,157

 

 

 

FNMA POOL 559810

 

1.575% 01 Aug 2040

 

130,927

 

 

 

135,323

 

 

 

FNMA POOL 691210

 

6% 01 Jan 2037

 

231,414

 

 

 

253,355

 

 

 

FNMA POOL 745150

 

4.5% 01 Jun 2020

 

2,287,467

 

 

 

2,454,150

 

 

 

FNMA POOL 745390

 

2.478% 01 Feb 2036

 

5,343,031

 

 

 

5,680,826

 

 

 

FNMA POOL 785677

 

5% 01 Jul 2019

 

62,465

 

 

 

67,980

 

 

 

FNMA POOL 785721

 

5% 01 Jul 2019

 

711,263

 

 

 

772,958

 

 

 

FNMA POOL 831368

 

6% 01 Apr 2036

 

1,250,849

 

 

 

1,369,443

 

 

 

FNMA POOL 888129

 

5.5% 01 Feb 2037

 

3,425,466

 

 

 

3,726,151

 

 

 

FNMA POOL 889334

 

6% 01 Feb 2038

 

1,645,009

 

 

 

1,800,973

 

 

 

FNMA POOL 891580

 

6% 01 Jul 2036

 

6,931

 

 

 

7,589

 

 

 

FNMA POOL 898318

 

6% 01 Nov 2036

 

98,853

 

 

 

108,225

 

 

 

FNMA POOL 899601

 

5.5% 01 Jul 2047

 

6,234,359

 

 

 

6,727,056

 

 

 

FNMA POOL 928031

 

6% 01 Jan 2037

 

1,300,253

 

 

 

1,423,531

 

 

 

FNMA POOL 930921

 

4.5% 01 Apr 2039

 

3,794,361

 

 

 

4,201,433

 

 

 

FNMA POOL 930922

 

4.5% 01 Apr 2039

 

10,481,793

 

 

 

11,526,719

 

 

 

FNMA POOL 931790

 

4.5% 01 Aug 2039

 

395,862

 

 

 

439,507

 

 

 

FNMA POOL 938224

 

6% 01 Jul 2037

 

244,211

 

 

 

267,364

 

 

 

FNMA POOL 960482

 

5.5% 01 Jan 2038

 

86,780

 

 

 

94,302

 

 

 

FNMA POOL 969666

 

5.5% 01 Feb 2038

 

2,000,000

 

 

 

2,173,059

 

 

 

FNMA POOL 995930

 

5% 01 Apr 2039

 

18,399,192

 

 

 

19,930,890

 

 

 

FNMA POOL 995947

 

5% 01 Jul 2039

 

3,382,679

 

 

 

3,664,281

 

 

 

FNMA POOL 995948

 

5% 01 Mar 2039

 

14,240,806

 

 

 

15,426,327

 

 

 

FNMA POOL AA0167

 

5% 01 Jan 2039

 

183,453

 

 

 

198,725

 

 

 

FNMA POOL AA0264

 

5% 01 Feb 2039

 

343,548

 

 

 

372,148

 

 

 

FNMA POOL AA0712

 

5% 01 Jan 2039

 

174

 

 

 

189

 

 

 

FNMA POOL AA0728

 

5% 01 Feb 2039

 

23,985,073

 

 

 

25,981,785

 

 

 

FNMA POOL AA0779

 

5% 01 Apr 2039

 

38,759,976

 

 

 

41,986,671

 

 

 

FNMA POOL AA0862

 

5% 01 Jan 2039

 

258,353

 

 

 

279,861

 

 

 

FNMA POOL AA2057

 

5% 01 Mar 2039

 

283,960

 

 

 

307,600

 

 

 

FNMA POOL AA2139

 

5% 01 Jan 2039

 

174,446

 

 

 

188,968

 

 

 

FNMA POOL AA4483

 

4.5% 01 Apr 2039

 

2,539,887

 

 

 

2,760,307

 

 

 

FNMA POOL AA6435

 

6% 01 May 2040

 

278,414

 

 

 

310,900

 

 

 

FNMA POOL AB1048

 

4.5% 01 May 2040

 

851,282

 

 

 

936,146

 

 

 

FNMA POOL AB1142

 

4.5% 01 Jun 2040

 

946,229

 

 

 

1,042,569

 

 

 

FNMA POOL AB2084

 

4% 01 Jan 2041

 

1,702,067

 

 

 

1,826,418

 

 

 

FNMA POOL AC1254

 

4% 01 Aug 2039

 

137,257

 

 

 

153,333

 

 

 

FNMA POOL AD9871

 

4% 01 Oct 2040

 

778,421

 

 

 

855,481

 

 

 

FNMA POOL AE0504

 

4.5% 01 Nov 2040

 

747,151

 

 

 

823,222

 

 

 

FNMA POOL AE8287

 

4% 01 Nov 2040

 

7,767,540

 

 

 

8,575,335

 

 

 

FNMA POOL AE8349

 

6% 01 Aug 2037

 

186,140

 

 

 

206,987

 

 

 

FNMA POOL AH0527

 

4% 01 Dec 2040

 

8,075,254

 

 

 

8,980,662

 

 

 

FNMA POOL AH3810

 

4% 01 Feb 2041

 

698,620

 

 

 

762,978

 

 

 

FNMA POOL AH4860

 

4% 01 Jan 2041

 

971,054

 

 

 

1,072,040

 

 

 

FNMA POOL AH7288

 

4% 01 Mar 2041

 

308,609

 

 

 

337,038

 

 

 

FNMA POOL AI6645

 

4.5% 01 Aug 2041

 

93,598

 

 

 

103,127

 

 

 

FNMA POOL AI8448

 

4.5% 01 Aug 2041

 

7,253,881

 

 

 

7,992,432

 

 

 

FNMA POOL AJ7689

 

4% 01 Dec 2041

 

3,585,157

 

 

 

3,848,205

 

 

 

FNMA POOL AO0775

 

4% 01 Apr 2042

 

1,857,929

 

 

 

2,029,084

 

 

 

FNMA TBA 30YR SINGLE FAMILY JA

 

3.5% 01 Dec 2099

 

37,000,000

 

 

 

39,446,914

 

 

 

FNMA TBA 3PCT JAN 30 SINGLE FA

 

3% 01 Dec 2099

 

500,000

 

 

 

523,906

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

6% 01 Dec 2099

 

8,000,000

 

 

 

8,737,500

 

 

 

FNMA TBA MAR

 

3% 01 Dec 2099

 

2,000,000

 

 

 

2,091,250

 

 

 

FNMA TBA SINGLE FAMILY FEB 15

 

4% 01 Dec 2099

 

8,000,000

 

 

 

8,558,750

 

 

 

FNMA TBA SINGLE FAMILY MORTGAG

 

4% 01 Dec 2099

 

24,100,000

 

 

 

25,832,188

 

 

 

FNR 2007 45 SM 06/36 FLT

 

6.9958% 25 Jun 2036

 

4,496,295

 

 

 

662,453

 

 

 

FREDDIE MAC FHR 1818 Z

 

6.5% 15 Feb 2026

 

1,768,555

 

 

 

1,991,668

 

 

 

FREDDIE MAC FHR 2078 KE

 

6% 15 Jul 2023

 

935,915

 

 

 

1,038,293

 

 

153



Table of Contents

 

 

 

FREDDIE MAC FHR 2102 Z

 

6% 15 Dec 2028

 

1,078,488

 

 

 

1,214,688

 

 

 

FREDDIE MAC FHR 2367 ZA

 

6% 15 Oct 2031

 

2,845,213

 

 

 

3,157,916

 

 

 

FREDDIE MAC FHR 2519 ZD

 

5.5% 15 Nov 2032

 

8,105,223

 

 

 

8,972,619

 

 

 

FREDDIE MAC FHR 2596 ZL

 

5% 15 Apr 2033

 

9,719,057

 

 

 

10,676,346

 

 

 

FREDDIE MAC FHR 2635 DV

 

4.25% 15 Jan 2018

 

1,317,813

 

 

 

1,347,249

 

 

 

FREDDIE MAC FHR 2646 MH

 

5% 15 Jul 2033

 

2,076,617

 

 

 

2,159,781

 

 

 

FREDDIE MAC FHR 2662 DH

 

5% 15 Aug 2023

 

13,343,000

 

 

 

15,236,705

 

 

 

FREDDIE MAC FHR 3027 CB

 

5% 15 Feb 2033

 

558,597

 

 

 

558,555

 

 

 

FREDDIE MAC FHR 3145 AJ

 

5.5% 15 Apr 2036

 

9,005,978

 

 

 

9,832,898

 

 

 

FREDDIE MAC FHR 3310 B

 

5% 15 Apr 2032

 

7,452,385

 

 

 

8,228,581

 

 

 

FREDDIE MAC FHR 3318 F

 

0.48313% 15 May 2037

 

3,638,581

 

 

 

3,641,489

 

 

 

FREDDIE MAC FHR 3351 ZC

 

5.5% 15 Jul 2037

 

12,115,197

 

 

 

13,886,875

 

 

 

FREDDIE MAC FHR 3754 VZ

 

4% 15 Nov 2040

 

6,411,845

 

 

 

6,861,495

 

 

 

FREDDIE MAC FHR 3891 BF

 

0.73525% 15 Jul 2041

 

2,451,761

 

 

 

2,466,455

 

 

 

GE COMMERCIAL MORTGAGE CORPORA GECMC 2007 C1 A4

 

5.543% 10 Dec 2049

 

3,923,000

 

 

 

4,478,426

 

 

 

GNMA I TBA JAN 30 SINGLE FAM

 

4% 01 Dec 2099

 

12,000,000

 

 

 

13,160,626

 

 

 

GNMA I TBA FEB 30 SINGLE FAM

 

4.5% 01 Dec 2099

 

7,000,000

 

 

 

7,656,250

 

 

 

GNMA I SINGLE FAMILY MORTGAGE

 

3.5% 01 Dec 2099

 

16,000,000

 

 

 

17,356,250

 

 

 

GNMA II JAN 30 TBA

 

4.5% 01 Dec 2099

 

4,000,000

 

 

 

4,378,125

 

 

 

GNMA II JUMBOS 30 YRS

 

3.5% 01 Dec 2099

 

(15,500,000

)

 

 

(16,840,508

)

 

 

GNMA II POOL 004113

 

5% 20 Apr 2038

 

4,000,000

 

 

 

4,375,171

 

 

 

GNMA II POOL 004168

 

5% 20 Jun 2038

 

3,551,959

 

 

 

3,885,106

 

 

 

GNMA II POOL 004314

 

5% 20 Dec 2038

 

5,000,001

 

 

 

5,468,964

 

 

 

GNMA II POOL 004539

 

4% 20 Sep 2039

 

396,290

 

 

 

431,760

 

 

 

GNMA II POOL 005116

 

5% 20 Jul 2041

 

965,520

 

 

 

1,069,934

 

 

 

GNMA II POOL 005261

 

5% 20 Dec 2041

 

482,521

 

 

 

532,905

 

 

 

GNMA II POOL 080594 080594

 

6.375% 20 Apr 2032

 

355,747

 

 

 

372,417

 

 

 

GNMA II POOL 080869

 

1% 20 Apr 2034

 

841,924

 

 

 

881,376

 

 

 

GNMA II POOL 080965

 

3.5% 20 Jul 2034

 

1,110,949

 

 

 

1,154,490

 

 

 

GNMA II POOL MA0318

 

3.5% 20 Aug 2042

 

15,772,603

 

 

 

17,158,644

 

 

 

GNMA II TBA JAN 30 JUMBOS

 

4.5% 01 Dec 2099

 

200,000

 

 

 

218,969

 

 

 

GNMA POOL 604548

 

4.5% 15 Aug 2033

 

4,535,126

 

 

 

4,993,083

 

 

 

GNMA POOL 608288

 

4.5% 15 Sep 2033

 

460,245

 

 

 

506,720

 

 

 

GNMA POOL 638606

 

5% 15 Apr 2039

 

1,469,346

 

 

 

1,608,537

 

 

 

GNMA POOL 678858

 

5% 15 Mar 2038

 

46,887

 

 

 

51,270

 

 

 

GNMA POOL 698481

 

4.5% 15 Aug 2039

 

111,266

 

 

 

122,327

 

 

 

GNMA POOL 701870

 

5% 15 Apr 2039

 

846,070

 

 

 

926,219

 

 

 

GNMA POOL 710712

 

4.5% 15 Jul 2039

 

97,774

 

 

 

107,495

 

 

 

GNMA POOL 720159

 

4.5% 15 Jul 2039

 

236,961

 

 

 

260,519

 

 

 

GNMA POOL 729014

 

4.5% 15 Feb 2040

 

64,105

 

 

 

70,515

 

 

 

GNMA POOL 733746

 

4.5% 15 Jun 2040

 

127,748

 

 

 

141,007

 

 

 

GNMA POOL 737086

 

4.5% 15 Aug 2040

 

1,272,490

 

 

 

1,404,565

 

 

 

GNMA POOL 737269

 

4.5% 15 May 2040

 

542,291

 

 

 

598,577

 

 

 

GNMA POOL 738232

 

5% 15 Apr 2041

 

582,112

 

 

 

635,073

 

 

 

GNMA POOL 738317

 

5% 15 May 2041

 

67,750

 

 

 

74,528

 

 

 

GNMA POOL 745133

 

4.5% 15 Jun 2040

 

35,742

 

 

 

39,452

 

 

 

GNMA POOL 774484

 

5% 15 Sep 2041

 

69,551

 

 

 

75,879

 

 

 

GNMA POOL 782386

 

5% 15 Aug 2038

 

6,674,724

 

 

 

7,286,163

 

 

 

GNMA POOL 782428

 

5% 15 Oct 2038

 

28,012

 

 

 

30,560

 

 

 

GNMA POOL AA5426

 

2.5% 15 Jul 2027

 

19,927,581

 

 

 

21,031,280

 

 

 

GNMA POOL AA8254

 

2.5% 15 Jul 2027

 

4,444,713

 

 

 

4,690,885

 

 

 

GNMA POOL AC1428

 

2.69% 15 Jun 2033

 

22,000,000

 

 

 

22,288,750

 

 

 

GNMA SINGLE FAMILY

 

3% 01 Dec 2099

 

3,000,000

 

 

 

3,182,344

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2002 42 KZ

 

6% 16 Jun 2032

 

7,295,006

 

 

 

8,221,851

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2004 104 GA

 

4.5% 20 Nov 2034

 

5,413,207

 

 

 

5,852,326

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2004 19 KD

 

5% 16 Mar 2033

 

14,292,165

 

 

 

14,956,222

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2004 67 IO

 

0.1401% 16 Jul 2044

 

52,656,199

 

 

 

188,246

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2009 115 IO

 

0

 

24,093,864

 

 

 

1,325,668

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 36 IO

 

0

 

23,972,755

 

 

 

1,161,959

 

 

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2012 46 IO

 

1.41843% 16 Sep 2053

 

29,774,135

 

 

 

2,299,992

 

 

 

GSR MORTGAGE LOAN TRUST GSR 2005 6F 3A18

 

5.5% 25 Jul 2035

 

7,545,833

 

 

 

7,030,573

 

 

 

GSR MORTGAGE LOAN TRUST GSR 2005 AR5 4A1

 

5.194347% 25 Oct 2035

 

5,121,703

 

 

 

4,957,947

 

 

 

GSR MORTGAGE LOAN TRUST GSR 2005 AR6 3A1

 

1% 25 Sep 2035

 

8,367,116

 

 

 

8,211,396

 

 

 

GSR MORTGAGE LOAN TRUST GSR 2005 AR7 2A1

 

2.621229% 25 Nov 2035

 

4,642,692

 

 

 

4,555,697

 

 

 

J.P. MORGAN ALTERNATIVE LOAN T JPALT 2006 A4 A1

 

5.95% 25 Sep 2036

 

349,380

 

 

 

351,062

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP9 A2S

 

5.298% 15 May 2047

 

1,556,295

 

 

 

1,587,490

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2010 C1 XA 144A

 

1% 15 Jun 2043

 

50,700,340

 

 

 

2,855,697

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2011 C3 A3 144A

 

4.3877% 15 Aug 2020

 

6,000,000

 

 

 

6,858,690

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2011 C3 XA 144A

 

1.320607% 15 Feb 2046

 

48,114,018

 

 

 

2,910,658

 

 

 

JP MORGAN MORTGAGE TRUST JPMMT 2007 S3 1A64

 

7.5% 25 Aug 2037

 

5,337,719

 

 

 

4,449,960

 

 

 

JP MORGAN MORTGAGE TRUST JPMMT 2007 S3 2A3

 

6% 25 Aug 2022

 

2,298,877

 

 

 

2,261,525

 

 

 

LB COMMERCIAL CONDUIT MORTGAGE LBCMT 2007 C3 A4

 

6.14959% 15 Jul 2044

 

2,435,000

 

 

 

2,865,932

 

 

 

MASTR ADJUSTABLE RATE MORTGAGE MARM 2006 2 3A1

 

2.7198% 25 Jan 2036

 

4,140,784

 

 

 

3,866,477

 

 

 

MASTR ASSET SECURITIZATION TRU MASTR 2003 6 5A1

 

5.5% 25 Jul 2033

 

1,001,939

 

 

 

1,042,247

 

 

 

MORGAN STANLEY MSC2 CA H COLL BROKER

 

1% 31 Dec 2030

 

(1,520,000

)

 

 

(1,520,000

)

 

 

MORTGAGE EQUITY CONVERSION ASS MECA 2006 SFG3 A 144A

 

0.67% 25 Oct 2041

 

8,558,867

 

 

 

6,954,079

 

 

 

OBP DEPOSITOR LLC TRUST OBP 2010 OBP A 144A

 

4.6462% 15 Jul 2045

 

5,000,000

 

 

 

5,867,590

 

 

 

RESIDENTIAL ASSET SECURITIZATI RAST 2003 A5 A4

 

4.75% 25 Jun 2033

 

1,318,392

 

 

 

1,328,798

 

 

 

SLM STUDENT LOAN TRUST SLMA 2008 9 A

 

1.801% 25 Apr 2023

 

13,414,102

 

 

 

13,978,648

 

 

 

SLM STUDENT LOAN TRUST SLMA 2010 B A1 144A

 

2.13875% 15 Aug 2016

 

73,940

 

 

 

73,984

 

 

154



Table of Contents

 

 

 

SOVEREIGN COMMERCIAL MORTGAGE SOVC 2007 C1 A2 144A

 

6.0112% 22 Jul 2030

 

457,902

 

 

 

464,607

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

22,855,354

 

 

 

22,855,354

 

 

 

STRUCTURED ASSET SECURITIES CO SASC 2003 10 A

 

6% 25 Apr 2033

 

2,172,227

 

 

 

2,317,764

 

 

 

TERWIN MORTGAGE TRUST TMTS 2006 17HE A2A 144A

 

1% 25 Jan 2038

 

217,773

 

 

 

213,858

 

 

 

TREASURY BILL 02/13 0.00000

 

0.01% 28 Feb 2013

 

1,000,000

 

 

 

999,945

 

 

 

TREASURY BILL 03/13 0.00000

 

0.01% 07 Mar 2013

 

2,000,000

 

 

 

1,999,866

 

 

 

UBS CITIGROUP COMMERCIAL MORTG UBSC 2011 C1 XA 144A

 

0

 

26,226,722

 

 

 

3,621,386

 

 

 

US DOLLAR

 

 

 

(25,007,570

)

 

 

(25,007,570

)

 

 

US TREASURY N/B

 

1.375% 28 Feb 2019

 

9,000,000

 

 

 

9,222,894

 

 

 

US TREASURY N/B

 

3.125% 15 Feb 2042

 

4,050,000

 

 

 

4,234,781

 

 

 

US TREASURY N/B

 

3.125% 15 May 2019

 

17,300,000

 

 

 

19,592,250

 

 

 

US TREASURY N/B

 

3.5% 15 May 2020

 

2,100,000

 

 

 

2,438,134

 

 

 

US TREASURY N/B

 

1.875% 15 May 2022

 

6,000,000

 

 

 

6,052,032

 

 

 

US TREASURY N/B

 

3.625% 15 Aug 2019

 

7,500,000

 

 

 

8,733,398

 

 

 

US TREASURY N/B

 

2.625% 15 Aug 2020

 

43,750,000

 

 

 

48,042,969

 

 

 

US TREASURY N/B

 

1.625% 15 Aug 2022

 

3,400,000

 

 

 

3,377,689

 

 

 

US TREASURY N/B

 

6.125% 15 Aug 2029

 

22,000,000

 

 

 

33,336,864

 

 

 

US TREASURY N/B

 

3.875% 15 Aug 2040

 

7,100,000

 

 

 

8,533,313

 

 

 

US TREASURY N/B

 

3.75% 15 Aug 2041

 

2,000,000

 

 

 

2,350,624

 

 

 

US TREASURY N/B

 

0.75% 31 Oct 2017

 

8,000,000

 

 

 

8,026,248

 

 

 

US TREASURY N/B

 

3.375% 15 Nov 2019

 

4,600,000

 

 

 

5,288,924

 

 

 

US TREASURY N/B

 

2.625% 15 Nov 2020

 

19,200,000

 

 

 

21,072,000

 

 

 

US TREASURY N/B

 

2% 15 Nov 2021

 

5,300,000

 

 

 

5,500,822

 

 

 

WAMU MORTGAGE PASS THROUGH CER WAMU 2007 HY7 2A1

 

5.79611% 25 Jul 2037

 

4,637,027

 

 

 

3,433,028

 

 

 

WASHINGTON MUTUAL MORTGAGE PAS WMALT 2005 7 3CB

 

6.5% 25 Aug 2035

 

5,419,652

 

 

 

4,086,646

 

 

 

WELLS FARGO COMMERCIAL MORTGAG WFCM 2012 LC5 XA 144A

 

2.16698% 15 Oct 2045

 

5,982,478

 

 

 

811,380

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2004 I 1A1

 

2.791533% 25 Jul 2034

 

455,763

 

 

 

460,133

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2005 AR8 3A2

 

2.9803% 25 Jun 2035

 

314,901

 

 

 

314,610

 

 

 

WELLS FARGO MORTGAGE BACKED SE WFMBS 2007 11 A90

 

6% 25 Aug 2037

 

26,996

 

 

 

27,239

 

 

 

WF RBS COMMERCIAL MORTGAGE TRU WFRBS 2011 C4 XA 144A

 

0.843362% 15 Jun 2044

 

8,729,618

 

 

 

327,946

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5738 9 of 15

 

 

 

 

 

$

1,040,924,189

 

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

30YR US TREASURY BOND FUTURE

 

MAR13 XCBT

 

(2,200,000

)

 

 

$

56,211

 

 

 

5YR US TREASURY NOTE FUTURES

 

MAR13 XCBT

 

6,400,000

 

 

 

(20,141

)

 

 

ABB FINANCE USA INC COMPANY GUAR

 

2.875% 08 May 2022

 

765,000

 

 

 

783,238

 

 

 

ABBEY NATL TREASURY SERV BANK GUARANT

 

2.875% 25 Apr 2014

 

430,000

 

 

 

438,985

 

 

 

ABBVIE INC SR UNSECURED 144A

 

2.9% 06 Nov 2022

 

900,000

 

 

 

916,542

 

 

 

ACTAVIS INC SR UNSECURED

 

3.25% 01 Oct 2022

 

920,000

 

 

 

939,180

 

 

 

AETNA INC SR UNSECURED

 

6.5% 15 Sep 2018

 

1,070,000

 

 

 

1,330,349

 

 

 

AETNA INC SR UNSECURED

 

3.95% 01 Sep 2020

 

885,000

 

 

 

964,529

 

 

 

ALLIED WORLD ASSURANCE COMPANY GUAR

 

7.5% 01 Aug 2016

 

1,950,000

 

 

 

2,303,962

 

 

 

ALTRIA GROUP INC COMPANY GUAR

 

9.7% 10 Nov 2018

 

1,520,000

 

 

 

2,127,891

 

 

 

AMAZON.COM INC SR UNSECURED

 

1.2% 29 Nov 2017

 

980,000

 

 

 

974,614

 

 

 

AMERICA MOVIL SAB DE CV COMPANY GUAR

 

5% 30 Mar 2020

 

2,840,000

 

 

 

3,304,260

 

 

 

AMERICAN ELECTRIC POWER SR UNSECURED

 

1.65% 15 Dec 2017

 

750,000

 

 

 

752,628

 

 

 

AMERICAN EXPRESS CO SR UNSECURED 144A

 

2.65% 02 Dec 2022

 

3,450,000

 

 

 

3,436,262

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

3.8% 22 Mar 2017

 

1,810,000

 

 

 

1,959,025

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

4.25% 15 May 2013

 

775,000

 

 

 

784,413

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

6.4% 15 Dec 2020

 

510,000

 

 

 

632,807

 

 

 

AMGEN INC SR UNSECURED

 

2.3% 15 Jun 2016

 

535,000

 

 

 

556,211

 

 

 

AMGEN INC SR UNSECURED

 

5.85% 01 Jun 2017

 

1,765,000

 

 

 

2,090,175

 

 

 

AMGEN INC SR UNSECURED

 

3.875% 15 Nov 2021

 

770,000

 

 

 

845,602

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

6.375% 15 Sep 2017

 

335,000

 

 

 

400,156

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

5.375% 15 Jan 2020

 

2,540,000

 

 

 

3,091,266

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

5% 15 Apr 2020

 

820,000

 

 

 

981,269

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

5.375% 15 Nov 2014

 

1,045,000

 

 

 

1,134,392

 

 

 

APACHE CORP SR UNSECURED

 

6.9% 15 Sep 2018

 

590,000

 

 

 

752,441

 

 

 

AT+T INC SR UNSECURED

 

5.5% 01 Feb 2018

 

1,960,000

 

 

 

2,334,930

 

 

 

AXIS SPECIALTY FINANCE COMPANY GUAR

 

5.875% 01 Jun 2020

 

785,000

 

 

 

891,166

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

4.9% 01 May 2013

 

5,475,000

 

 

 

5,549,695

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

6% 01 Sep 2017

 

4,485,000

 

 

 

5,252,002

 

 

 

BANK OF AMERICA CREDIT CARD TR BACCT 2007 A1 A1

 

5.17% 15 Jun 2019

 

500,000

 

 

 

585,300

 

 

 

BANK OF MONTREAL SR UNSECURED

 

2.125% 28 Jun 2013

 

645,000

 

 

 

650,470

 

 

 

BANK OF NOVA SCOTIA SR UNSECURED

 

2.9% 29 Mar 2016

 

1,875,000

 

 

 

1,987,254

 

 

 

BARCLAYS BANK PLC SR UNSECURED

 

5% 22 Sep 2016

 

2,580,000

 

 

 

2,891,888

 

 

 

BEAR STEARNS COMMERCIAL MORTGA BSCMS 2006 PW11 A4

 

5.62296% 11 Mar 2039

 

1,500,000

 

 

 

1,692,444

 

 

 

BEAR STEARNS COMMERCIAL MORTGA BSCMS 2006 T22 AM

 

1% 12 Apr 2038

 

320,000

 

 

 

354,288

 

 

 

BERKSHIRE HATHAWAY FIN COMPANY GUAR

 

5.4% 15 May 2018

 

4,705,000

 

 

 

5,659,527

 

 

 

BHP BILLITON FIN USA LTD COMPANY GUAR

 

1.625% 24 Feb 2017

 

795,000

 

 

 

812,955

 

 

 

BHP BILLITON FIN USA LTD COMPANY GUAR

 

6.5% 01 Apr 2019

 

535,000

 

 

 

682,286

 

 

 

BHP BILLITON FINANCE COMPANY GUAR

 

4.8% 15 Apr 2013

 

635,000

 

 

 

642,957

 

 

 

BOEING CO SR UNSECURED

 

3.5% 15 Feb 2015

 

2,390,000

 

 

 

2,530,295

 

 

155



Table of Contents

 

 

 

BOEING CO SR UNSECURED

 

6% 15 Mar 2019

 

200,000

 

 

 

249,117

 

 

 

BOSTON SCIENTIFIC CORP SR UNSECURED

 

6% 15 Jan 2020

 

405,000

 

 

 

472,413

 

 

 

BOTTLING GROUP LLC COMPANY GUAR

 

5.5% 01 Apr 2016

 

595,000

 

 

 

679,927

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

4.75% 10 Mar 2019

 

665,000

 

 

 

771,063

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.245% 06 May 2022

 

1,690,000

 

 

 

1,780,427

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.125% 01 Oct 2015

 

915,000

 

 

 

971,316

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

5.25% 07 Nov 2013

 

380,000

 

 

 

395,431

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

3.561% 01 Nov 2021

 

515,000

 

 

 

556,504

 

 

 

BRITISH TELECOM PLC SR UNSECURED

 

5.95% 15 Jan 2018

 

1,510,000

 

 

 

1,804,518

 

 

 

BURLINGTN NORTH SANTA FE SR UNSECURED

 

5.65% 01 May 2017

 

2,360,000

 

 

 

2,777,973

 

 

 

CALIFORNIA ST CAS FIXED

 

6.2% 01 Mar 2019

 

985,000

 

 

 

1,187,674

 

 

 

CALIFORNIA ST CAS FIXED

 

6.2% 01 Oct 2019

 

1,630,000

 

 

 

1,986,758

 

 

 

CALIFORNIA ST CAS FIXED

 

3.95% 01 Nov 2015

 

25,000

 

 

 

26,955

 

 

 

CANADIAN NATL RAILWAY SR UNSECURED

 

5.55% 01 Mar 2019

 

550,000

 

 

 

663,905

 

 

 

CANADIAN NATL RAILWAY SR UNSECURED

 

6.8% 15 Jul 2018

 

425,000

 

 

 

536,028

 

 

 

CAPITAL ONE FINANCIAL CO SR UNSECURED

 

7.375% 23 May 2014

 

3,985,000

 

 

 

4,334,995

 

 

 

CARDINAL HEALTH INC SR UNSECURED

 

4.625% 15 Dec 2020

 

635,000

 

 

 

720,659

 

 

 

CAREFUSION CORP SR UNSECURED

 

6.375% 01 Aug 2019

 

765,000

 

 

 

912,223

 

 

 

CATERPILLAR FINANCIAL SE SR UNSECURED

 

6.125% 17 Feb 2014

 

3,475,000

 

 

 

3,704,861

 

 

 

CATERPILLAR INC SR UNSECURED

 

3.9% 27 May 2021

 

1,815,000

 

 

 

2,036,229

 

 

 

CATHOLIC HEALTH INITIATI SECURED

 

1.6% 01 Nov 2017

 

175,000

 

 

 

176,873

 

 

 

CBS CORP COMPANY GUAR

 

3.375% 01 Mar 2022

 

605,000

 

 

 

629,064

 

 

 

CD COMMERCIAL MORTGAGE TRUST CD 2006 CD3 A5

 

5.617% 15 Oct 2048

 

560,000

 

 

 

643,632

 

 

 

CD COMMERCIAL MORTGAGE TRUST CD 2007 CD4 A4

 

5.322% 11 Dec 2049

 

530,000

 

 

 

607,968

 

 

 

CENOVUS ENERGY INC SR UNSECURED

 

5.7% 15 Oct 2019

 

360,000

 

 

 

436,556

 

 

 

CHEVRON CORP SR UNSECURED

 

2.355% 05 Dec 2022

 

1,630,000

 

 

 

1,632,675

 

 

 

CIGNA CORP SR UNSECURED

 

5.375% 15 Mar 2017

 

1,400,000

 

 

 

1,585,405

 

 

 

CIGNA CORP SR UNSECURED

 

4.375% 15 Dec 2020

 

190,000

 

 

 

209,825

 

 

 

CISCO SYSTEMS INC SR UNSECURED

 

4.45% 15 Jan 2020

 

2,085,000

 

 

 

2,417,699

 

 

 

CISCO SYSTEMS INC SR UNSECURED

 

4.95% 15 Feb 2019

 

995,000

 

 

 

1,177,899

 

 

 

CITIBANK CREDIT CARD ISSUANCE CCCIT 2007 A8 A8

 

5.65% 20 Sep 2019

 

2,350,000

 

 

 

2,846,395

 

 

 

CITIGROUP COMMERCIAL MORTGAGE CGCMT 2007 C6 A2

 

5.888% 10 Dec 2049

 

550,964

 

 

 

551,738

 

 

 

CITIGROUP COMMERCIAL MORTGAGE CGCMT 2007 C6 A4

 

1% 10 Dec 2049

 

1,450,000

 

 

 

1,708,333

 

 

 

CITIGROUP INC SR UNSECURED

 

6.125% 21 Nov 2017

 

3,600,000

 

 

 

4,284,565

 

 

 

CITIGROUP INC SR UNSECURED

 

4.587% 15 Dec 2015

 

465,000

 

 

 

507,664

 

 

 

CITIGROUP INC SUBORDINATED

 

5% 15 Sep 2014

 

2,895,000

 

 

 

3,045,795

 

 

 

COMCAST CORP COMPANY GUAR

 

6.5% 15 Jan 2015

 

1,915,000

 

 

 

2,133,842

 

 

 

COMCAST CORP COMPANY GUAR

 

5.875% 15 Feb 2018

 

2,625,000

 

 

 

3,163,259

 

 

 

COMCAST CORP COMPANY GUAR

 

5.7% 01 Jul 2019

 

659,000

 

 

 

802,953

 

 

 

CONOCOPHILLIPS COMPANY COMPANY GUAR

 

2.4% 15 Dec 2022

 

1,265,000

 

 

 

1,260,982

 

 

 

CONTL AIRLINES 2012 1 A PASS THRU CE

 

4.15% 11 Oct 2025

 

655,000

 

 

 

689,388

 

 

 

CONTL AIRLINES 2012 2 A PASS THRU CE

 

4% 29 Apr 2026

 

1,320,000

 

 

 

1,389,300

 

 

 

COOPERATIEVE CENTRALE RA BANK GUARANT

 

2.125% 13 Oct 2015

 

1,645,000

 

 

 

1,697,809

 

 

 

COVENTRY HEALTH CARE INC SR UNSECURED

 

5.95% 15 Mar 2017

 

720,000

 

 

 

836,965

 

 

 

COVENTRY HEALTH CARE INC SR UNSECURED

 

5.45% 15 Jun 2021

 

640,000

 

 

 

760,675

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2006 C1 A4

 

1% 15 Feb 2039

 

2,085,000

 

 

 

2,352,501

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2006 C1 AM

 

5.593092% 15 Feb 2039

 

620,000

 

 

 

686,338

 

 

 

CREDIT SUISSE COMMERCIAL MORTG CSMC 2006 C2 A3

 

1% 15 Mar 2039

 

4,995,000

 

 

 

5,635,479

 

 

 

CREDIT SUISSE NEW YORK SR UNSECURED

 

4.375% 05 Aug 2020

 

925,000

 

 

 

1,054,760

 

 

 

CREDIT SUISSE NEW YORK SUBORDINATED

 

6% 15 Feb 2018

 

1,405,000

 

 

 

1,615,289

 

 

 

CS FIRST BOSTON COMMERCIAL MOR CSFB 2005 C2 A4

 

4.832% 15 Apr 2037

 

1,560,000

 

 

 

1,676,953

 

 

 

CSX CORP SR UNSECURED

 

7.375% 01 Feb 2019

 

2,030,000

 

 

 

2,581,326

 

 

 

CSX CORP SR UNSECURED

 

5.6% 01 May 2017

 

280,000

 

 

 

327,079

 

 

 

CVS CAREMARK CORP SR UNSECURED

 

5.75% 01 Jun 2017

 

1,388,000

 

 

 

1,659,453

 

 

 

DEERE + COMPANY SR UNSECURED

 

2.6% 08 Jun 2022

 

950,000

 

 

 

961,971

 

 

 

DELHAIZE GROUP COMPANY GUAR

 

6.5% 15 Jun 2017

 

1,115,000

 

 

 

1,265,671

 

 

 

DIAGEO CAPITAL PLC COMPANY GUAR

 

7.375% 15 Jan 2014

 

715,000

 

 

 

764,708

 

 

 

DIRECTV HOLDINGS/FING COMPANY GUAR

 

3.5% 01 Mar 2016

 

1,700,000

 

 

 

1,800,990

 

 

 

DIRECTV HOLDINGS/FING COMPANY GUAR

 

3.8% 15 Mar 2022

 

175,000

 

 

 

180,540

 

 

 

DIRECTV HOLDINGS/FING COMPANY GUAR

 

4.75% 01 Oct 2014

 

895,000

 

 

 

955,609

 

 

 

DISCOVER BANK SUBORDINATED

 

8.7% 18 Nov 2019

 

467,000

 

 

 

607,699

 

 

 

DISCOVER FINANCIAL SVS SR UNSECURED 144A

 

3.85% 21 Nov 2022

 

1,503,000

 

 

 

1,550,907

 

 

 

DISCOVERY COMMUNICATIONS COMPANY GUAR

 

5.625% 15 Aug 2019

 

340,000

 

 

 

406,109

 

 

 

DOMINION RESOURCES INC SR UNSECURED

 

5.2% 15 Aug 2019

 

1,010,000

 

 

 

1,200,669

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

7.6% 15 May 2014

 

630,000

 

 

 

687,822

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

8.55% 15 May 2019

 

680,000

 

 

 

918,052

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

4.25% 15 Nov 2020

 

690,000

 

 

 

767,082

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

3% 15 Nov 2022

 

975,000

 

 

 

972,830

 

 

 

DUKE ENERGY INDIANA INC 1ST MORTGAGE

 

3.75% 15 Jul 2020

 

335,000

 

 

 

370,962

 

 

 

E.I. DU PONT DE NEMOURS SR UNSECURED

 

4.625% 15 Jan 2020

 

935,000

 

 

 

1,102,266

 

 

 

EBAY INC SR UNSECURED

 

1.35% 15 Jul 2017

 

320,000

 

 

 

323,727

 

 

 

ECOLAB INC SR UNSECURED

 

4.35% 08 Dec 2021

 

935,000

 

 

 

1,043,629

 

 

 

ELI LILLY + CO SR UNSECURED

 

5.2% 15 Mar 2017

 

2,205,000

 

 

 

2,573,451

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

6.5% 31 Jan 2019

 

505,000

 

 

 

632,869

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

3.7% 01 Jun 2015

 

600,000

 

 

 

637,591

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

1.25% 13 Aug 2015

 

400,000

 

 

 

402,456

 

 

 

EXPORT IMPORT BK KOREA SR UNSECURED

 

5.125% 29 Jun 2020

 

1,135,000

 

 

 

1,304,226

 

 

 

FANNIE MAE

 

0.875% 20 Dec 2017

 

1,500,000

 

 

 

1,502,930

 

 

 

FANNIE MAE NOTES

 

2.375% 11 Apr 2016

 

10,940,000

 

 

 

11,627,163

 

 

 

FANNIE MAE NOTES

 

5.375% 12 Jun 2017

 

2,905,000

 

 

 

3,493,196

 

 

156



Table of Contents

 

 

 

FANNIE MAE NOTES

 

0.875% 28 Aug 2017

 

960,000

 

 

 

962,770

 

 

 

FANNIE MAE NOTES

 

0.5% 28 Sep 2015

 

2,460,000

 

 

 

2,467,761

 

 

 

FANNIE MAE NOTES

 

4.375% 15 Oct 2015

 

845,000

 

 

 

938,247

 

 

 

FANNIE MAE NOTES

 

0.875% 26 Oct 2017

 

2,035,000

 

 

 

2,043,236

 

 

 

FED HM LN PC POOL A47038

 

5% 01 Sep 2035

 

278,929

 

 

 

301,190

 

 

 

FED HM LN PC POOL A56599

 

6% 01 Jan 2037

 

614,282

 

 

 

669,451

 

 

 

FED HM LN PC POOL A63809

 

6% 01 Aug 2037

 

457,554

 

 

 

497,933

 

 

 

FED HM LN PC POOL A69654

 

6% 01 Dec 2037

 

188,071

 

 

 

204,667

 

 

 

FED HM LN PC POOL A79537

 

6% 01 Jul 2038

 

228,402

 

 

 

249,486

 

 

 

FED HM LN PC POOL A85726

 

5% 01 Apr 2039

 

759,090

 

 

 

835,614

 

 

 

FED HM LN PC POOL A92478

 

4.5% 01 Jun 2040

 

2,458,531

 

 

 

2,647,450

 

 

 

FED HM LN PC POOL A93318

 

5% 01 Aug 2040

 

1,962,218

 

 

 

2,149,484

 

 

 

FED HM LN PC POOL A93713

 

5% 01 Sep 2040

 

1,293,707

 

 

 

1,417,173

 

 

 

FED HM LN PC POOL A94069

 

5% 01 Sep 2040

 

1,031,568

 

 

 

1,130,017

 

 

 

FED HM LN PC POOL A94113

 

5% 01 Oct 2040

 

632,262

 

 

 

685,205

 

 

 

FED HM LN PC POOL A94898

 

4.5% 01 Nov 2040

 

628,349

 

 

 

684,172

 

 

 

FED HM LN PC POOL A95519

 

4.5% 01 Dec 2040

 

491,087

 

 

 

531,278

 

 

 

FED HM LN PC POOL A97040

 

4% 01 Feb 2041

 

1,571,436

 

 

 

1,679,070

 

 

 

FED HM LN PC POOL C03469

 

4.5% 01 May 2040

 

2,449,338

 

 

 

2,637,550

 

 

 

FED HM LN PC POOL C03517

 

4.5% 01 Sep 2040

 

190,506

 

 

 

205,145

 

 

 

FED HM LN PC POOL C03545

 

5% 01 Aug 2040

 

1,260,848

 

 

 

1,381,177

 

 

 

FED HM LN PC POOL C91176

 

5.5% 01 May 2028

 

373,552

 

 

 

404,241

 

 

 

FED HM LN PC POOL C91370

 

4.5% 01 May 2031

 

2,563,675

 

 

 

2,819,352

 

 

 

FED HM LN PC POOL E01098

 

6% 01 Feb 2017

 

42,073

 

 

 

45,498

 

 

 

FED HM LN PC POOL E04113

 

2.5% 01 Nov 2027

 

3,479,232

 

 

 

3,647,395

 

 

 

FED HM LN PC POOL E97335

 

5% 01 Jul 2018

 

366,392

 

 

 

394,194

 

 

 

FED HM LN PC POOL G01843

 

6% 01 Jun 2035

 

771,065

 

 

 

857,423

 

 

 

FED HM LN PC POOL G02031

 

5.5% 01 Feb 2036

 

2,206,080

 

 

 

2,394,902

 

 

 

FED HM LN PC POOL G02408

 

5.5% 01 Dec 2036

 

919,150

 

 

 

994,662

 

 

 

FED HM LN PC POOL G02427

 

5.5% 01 Dec 2036

 

1,657,260

 

 

 

1,793,412

 

 

 

FED HM LN PC POOL G02794

 

6% 01 May 2037

 

1,495,479

 

 

 

1,629,788

 

 

 

FED HM LN PC POOL G03695

 

5.5% 01 Nov 2037

 

624,458

 

 

 

675,759

 

 

 

FED HM LN PC POOL G03737

 

6.5% 01 Nov 2037

 

923,561

 

 

 

1,035,974

 

 

 

FED HM LN PC POOL G03781

 

6% 01 Jan 2038

 

52,870

 

 

 

57,536

 

 

 

FED HM LN PC POOL G03812

 

5.5% 01 Feb 2038

 

2,928,691

 

 

 

3,163,805

 

 

 

FED HM LN PC POOL G03819

 

6% 01 Jan 2038

 

126,251

 

 

 

137,392

 

 

 

FED HM LN PC POOL G03926

 

6% 01 Feb 2038

 

492,110

 

 

 

535,537

 

 

 

FED HM LN PC POOL G04585

 

5.5% 01 Feb 2038

 

602,689

 

 

 

651,073

 

 

 

FED HM LN PC POOL G04588

 

5.5% 01 Aug 2038

 

227,158

 

 

 

245,252

 

 

 

FED HM LN PC POOL G04688

 

5.5% 01 Sep 2038

 

404,553

 

 

 

436,777

 

 

 

FED HM LN PC POOL G05179

 

5.5% 01 Jan 2039

 

429,242

 

 

 

463,701

 

 

 

FED HM LN PC POOL G05676

 

4% 01 Nov 2039

 

1,867,919

 

 

 

1,994,694

 

 

 

FED HM LN PC POOL G05726

 

5% 01 Aug 2039

 

1,043,415

 

 

 

1,142,993

 

 

 

FED HM LN PC POOL G05741

 

4.5% 01 Dec 2039

 

322,490

 

 

 

346,061

 

 

 

FED HM LN PC POOL G05927

 

4.5% 01 Jul 2040

 

2,152,898

 

 

 

2,382,245

 

 

 

FED HM LN PC POOL G06087

 

5% 01 Sep 2040

 

350,855

 

 

 

377,541

 

 

 

FED HM LN PC POOL G06499

 

4% 01 Mar 2041

 

1,227,030

 

 

 

1,349,036

 

 

 

FED HM LN PC POOL G06506

 

4% 01 Dec 2040

 

3,563,649

 

 

 

3,807,738

 

 

 

FED HM LN PC POOL G06507

 

4% 01 Feb 2041

 

626,318

 

 

 

669,217

 

 

 

FED HM LN PC POOL G06601

 

4.5% 01 Dec 2040

 

6,103,971

 

 

 

6,735,148

 

 

 

FED HM LN PC POOL G07129

 

3.5% 01 Sep 2042

 

2,969,923

 

 

 

3,186,641

 

 

 

FED HM LN PC POOL G08273

 

5.5% 01 Jun 2038

 

228,845

 

 

 

247,073

 

 

 

FED HM LN PC POOL G08368

 

4.5% 01 Oct 2039

 

1,190,965

 

 

 

1,278,014

 

 

 

FED HM LN PC POOL G08372

 

4.5% 01 Nov 2039

 

897,144

 

 

 

962,718

 

 

 

FED HM LN PC POOL G12403

 

5% 01 Oct 2021

 

971,732

 

 

 

1,046,530

 

 

 

FED HM LN PC POOL G13300

 

4.5% 01 May 2023

 

334,618

 

 

 

356,140

 

 

 

FED HM LN PC POOL G13492

 

5% 01 Feb 2024

 

375,729

 

 

 

403,535

 

 

 

FED HM LN PC POOL G13868

 

4.5% 01 Jul 2025

 

1,006,055

 

 

 

1,070,448

 

 

 

FED HM LN PC POOL G14239

 

4% 01 Sep 2026

 

308,623

 

 

 

326,375

 

 

 

FED HM LN PC POOL G18401

 

3.5% 01 Sep 2026

 

520,212

 

 

 

547,047

 

 

 

FED HM LN PC POOL J09212

 

5% 01 Jan 2024

 

360,369

 

 

 

389,381

 

 

 

FED HM LN PC POOL J12398

 

4.5% 01 Jun 2025

 

902,965

 

 

 

960,759

 

 

 

FED HM LN PC POOL J12439

 

4.5% 01 Jun 2025

 

938,889

 

 

 

998,983

 

 

 

FED HM LN PC POOL J15031

 

4% 01 Apr 2026

 

1,734,690

 

 

 

1,834,471

 

 

 

FED HM LN PC POOL J15719

 

4% 01 Jun 2026

 

1,651,600

 

 

 

1,775,505

 

 

 

FED HM LN PC POOL J15847

 

4% 01 Jun 2026

 

751,243

 

 

 

807,602

 

 

 

FED HM LN PC POOL J16059

 

4% 01 Jul 2026

 

826,645

 

 

 

874,194

 

 

 

FED HM LN PC POOL Q02171

 

5% 01 Jul 2041

 

685,393

 

 

 

750,804

 

 

 

FED HM LN PC POOL Q02606

 

5% 01 Aug 2041

 

3,666,573

 

 

 

4,009,390

 

 

 

FED HM LN PC POOL Q02808

 

4.5% 01 Aug 2041

 

1,832,868

 

 

 

1,998,911

 

 

 

FED HM LN PC POOL Q02872

 

4.5% 01 Aug 2041

 

2,245,804

 

 

 

2,449,255

 

 

 

FED HM LN PC POOL Q03548

 

4.5% 01 Sep 2041

 

1,889,696

 

 

 

2,057,581

 

 

 

FED HM LN PC POOL Q10241

 

3.5% 01 Aug 2042

 

986,081

 

 

 

1,065,432

 

 

 

FED HM LN PC POOL Q10448

 

3.5% 01 Aug 2042

 

994,262

 

 

 

1,066,814

 

 

 

FED HM LN PC POOL Q11288

 

3.5% 01 Sep 2042

 

991,422

 

 

 

1,063,767

 

 

 

FED HM LN PC POOL Q12520

 

3% 01 Oct 2042

 

2,990,483

 

 

 

3,129,460

 

 

 

FED REPUBLIC OF BRAZIL SR UNSECURED

 

6% 17 Jan 2017

 

2,940,000

 

 

 

3,469,200

 

 

 

FEDERAL HOME LOAN BANK BONDS

 

1.375% 28 May 2014

 

10,035,000

 

 

 

10,206,588

 

 

 

FEDERAL HOME LOAN BANK BONDS

 

5% 17 Nov 2017

 

415,000

 

 

 

497,522

 

 

 

FHLMC TBA JAN 15 GOLD SINGLE

 

3.5% 01 Dec 2099

 

3,000,000

 

 

 

3,153,750

 

 

157



Table of Contents

 

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

4.5% 01 Dec 2099

 

500,000

 

 

 

536,484

 

 

 

FHLMC GOLD TBA 30 YR

 

4% 01 Dec 2099

 

2,000,000

 

 

 

2,135,000

 

 

 

FHLMC TBA JAN 15 GOLD SINGLE

 

3% 01 Dec 2099

 

4,000,000

 

 

 

4,200,000

 

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

3.5% 01 Dec 2099

 

4,500,000

 

 

 

4,785,117

 

 

 

FIRSTENERGY SOLUTIONS CO COMPANY GUAR

 

4.8% 15 Feb 2015

 

645,000

 

 

 

692,661

 

 

 

FISERV INC COMPANY GUAR

 

3.125% 15 Jun 2016

 

480,000

 

 

 

504,227

 

 

 

FNMA TBA FEB 30 SINGLE FAM

 

3.5% 01 Dec 2099

 

14,000,000

 

 

 

14,899,609

 

 

 

FNMA TBA JAN 15 SINGLE FAM

 

4.5% 01 Dec 2099

 

500,000

 

 

 

537,813

 

 

 

FNMA CONV 15YR TBA

 

2.5% 01 Dec 2099

 

15,500,000

 

 

 

16,207,188

 

 

 

FNMA POOL 257281

 

5% 01 Jul 2028

 

129,546

 

 

 

140,411

 

 

 

FNMA POOL 257595

 

5% 01 Mar 2029

 

12,093

 

 

 

13,107

 

 

 

FNMA POOL 555800

 

5.5% 01 Oct 2033

 

3,601,007

 

 

 

3,957,612

 

 

 

FNMA POOL 655687

 

6.5% 01 Aug 2032

 

673,445

 

 

 

764,969

 

 

 

FNMA POOL 660662

 

6.5% 01 Sep 2032

 

12,611

 

 

 

14,364

 

 

 

FNMA POOL 667032

 

5% 01 Nov 2017

 

67,862

 

 

 

72,824

 

 

 

FNMA POOL 725690

 

6% 01 Aug 2034

 

113,174

 

 

 

126,135

 

 

 

FNMA POOL 735061

 

6% 01 Nov 2034

 

3,637,980

 

 

 

4,013,953

 

 

 

FNMA POOL 735271

 

6% 01 Jan 2035

 

522,782

 

 

 

581,332

 

 

 

FNMA POOL 735288

 

5% 01 Mar 2035

 

794,359

 

 

 

866,296

 

 

 

FNMA POOL 735382

 

5% 01 Apr 2035

 

5,447,409

 

 

 

5,921,323

 

 

 

FNMA POOL 735484

 

5% 01 May 2035

 

2,163,330

 

 

 

2,354,386

 

 

 

FNMA POOL 735500

 

5.5% 01 May 2035

 

2,718,975

 

 

 

2,971,240

 

 

 

FNMA POOL 735578

 

5% 01 Jun 2035

 

411,569

 

 

 

446,860

 

 

 

FNMA POOL 735580

 

5% 01 Jun 2035

 

1,729,909

 

 

 

1,888,322

 

 

 

FNMA POOL 735591

 

5% 01 Jun 2035

 

1,627,822

 

 

 

1,776,796

 

 

 

FNMA POOL 735667

 

5% 01 Jul 2035

 

1,556,081

 

 

 

1,698,537

 

 

 

FNMA POOL 735676

 

5% 01 Jul 2035

 

6,840,789

 

 

 

7,442,279

 

 

 

FNMA POOL 735989

 

5.5% 01 Feb 2035

 

3,103,866

 

 

 

3,411,239

 

 

 

FNMA POOL 745355

 

5% 01 Mar 2036

 

1,652,691

 

 

 

1,798,786

 

 

 

FNMA POOL 745412

 

5.5% 01 Dec 2035

 

1,810,883

 

 

 

1,981,159

 

 

 

FNMA POOL 745418

 

5.5% 01 Apr 2036

 

1,045,735

 

 

 

1,142,757

 

 

 

FNMA POOL 745515

 

5% 01 May 2036

 

337,173

 

 

 

366,982

 

 

 

FNMA POOL 745885

 

6% 01 Oct 2036

 

2,638,700

 

 

 

2,888,877

 

 

 

FNMA POOL 745950

 

6% 01 Nov 2036

 

1,527,524

 

 

 

1,672,350

 

 

 

FNMA POOL 826495

 

5.5% 01 Jul 2035

 

26,824

 

 

 

29,313

 

 

 

FNMA POOL 831400

 

6% 01 Apr 2036

 

146,754

 

 

 

160,668

 

 

 

FNMA POOL 832690

 

5% 01 Sep 2035

 

1,004,771

 

 

 

1,090,928

 

 

 

FNMA POOL 832799

 

5% 01 Sep 2035

 

1,498,360

 

 

 

1,626,842

 

 

 

FNMA POOL 872482

 

5.5% 01 Apr 2036

 

3,546,324

 

 

 

3,857,618

 

 

 

FNMA POOL 888102

 

5.5% 01 May 2036

 

112,809

 

 

 

123,275

 

 

 

FNMA POOL 888129

 

5.5% 01 Feb 2037

 

865,279

 

 

 

941,232

 

 

 

FNMA POOL 888131

 

5.5% 01 Feb 2037

 

345,112

 

 

 

375,406

 

 

 

FNMA POOL 888286

 

5.5% 01 Apr 2037

 

3,425,275

 

 

 

3,722,197

 

 

 

FNMA POOL 888637

 

6% 01 Sep 2037

 

525,412

 

 

 

575,227

 

 

 

FNMA POOL 888763

 

5.183% 01 Oct 2037

 

1,147,676

 

 

 

1,210,387

 

 

 

FNMA POOL 889072

 

6.5% 01 Dec 2037

 

560,754

 

 

 

618,874

 

 

 

FNMA POOL 889190

 

6% 01 Mar 2038

 

792,503

 

 

 

865,907

 

 

 

FNMA POOL 889579

 

6% 01 May 2038

 

1,270,834

 

 

 

1,391,822

 

 

 

FNMA POOL 889691

 

6% 01 Jul 2038

 

666,005

 

 

 

729,150

 

 

 

FNMA POOL 889983

 

6% 01 Oct 2038

 

3,534,481

 

 

 

3,869,588

 

 

 

FNMA POOL 898832

 

5.5% 01 Nov 2036

 

300,969

 

 

 

327,387

 

 

 

FNMA POOL 899172

 

6.5% 01 Feb 2037

 

594,001

 

 

 

705,932

 

 

 

FNMA POOL 902669

 

5% 01 Nov 2036

 

263,040

 

 

 

284,937

 

 

 

FNMA POOL 916398

 

6.5% 01 May 2037

 

21,492

 

 

 

24,151

 

 

 

FNMA POOL 925224

 

6.5% 01 Sep 2037

 

8,523

 

 

 

10,129

 

 

 

FNMA POOL 928075

 

6% 01 Feb 2037

 

476,749

 

 

 

521,950

 

 

 

FNMA POOL 933478

 

5% 01 Mar 2023

 

295,809

 

 

 

320,312

 

 

 

FNMA POOL 938446

 

5.5% 01 Jul 2022

 

73,888

 

 

 

79,910

 

 

 

FNMA POOL 943699

 

6.5% 01 Aug 2037

 

32,085

 

 

 

36,015

 

 

 

FNMA POOL 944795

 

6.5% 01 Oct 2037

 

114,510

 

 

 

128,561

 

 

 

FNMA POOL 946924

 

6.5% 01 Sep 2037

 

352,360

 

 

 

395,594

 

 

 

FNMA POOL 948227

 

6.5% 01 Aug 2037

 

472,579

 

 

 

530,773

 

 

 

FNMA POOL 954143

 

6.5% 01 Dec 2037

 

15,776

 

 

 

18,749

 

 

 

FNMA POOL 954804

 

6.5% 01 Dec 2037

 

4,136

 

 

 

4,644

 

 

 

FNMA POOL 956226

 

6.5% 01 Nov 2037

 

4,533

 

 

 

5,084

 

 

 

FNMA POOL 959604

 

6.5% 01 Nov 2037

 

98,069

 

 

 

110,079

 

 

 

FNMA POOL 968546

 

6.5% 01 Feb 2038

 

165,353

 

 

 

184,957

 

 

 

FNMA POOL 969014

 

6.5% 01 Feb 2038

 

683,203

 

 

 

812,530

 

 

 

FNMA POOL 995930

 

5% 01 Apr 2039

 

58,204

 

 

 

63,049

 

 

 

FNMA POOL AA0472

 

4% 01 Mar 2039

 

591,134

 

 

 

634,137

 

 

 

FNMA POOL AB1047

 

4.5% 01 May 2040

 

1,875,380

 

 

 

2,082,144

 

 

 

FNMA POOL AB1141

 

4.5% 01 Jun 2040

 

1,712,492

 

 

 

1,901,298

 

 

 

FNMA POOL AB2801

 

3.5% 01 Apr 2026

 

2,500,442

 

 

 

2,654,037

 

 

 

FNMA POOL AB3693

 

4% 01 Oct 2041

 

1,902,155

 

 

 

2,041,719

 

 

 

FNMA POOL AB4689

 

3.5% 01 Mar 2042

 

1,890,278

 

 

 

2,024,595

 

 

 

FNMA POOL AB5236

 

3% 01 May 2027

 

2,191,780

 

 

 

2,316,506

 

 

 

FNMA POOL AB5593

 

3.5% 01 Jul 2042

 

1,493,363

 

 

 

1,599,477

 

 

 

FNMA POOL AB6229

 

3.5% 01 Sep 2042

 

5,899,652

 

 

 

6,318,864

 

 

 

FNMA POOL AB6238

 

3.5% 01 Sep 2042

 

980,611

 

 

 

1,057,951

 

 

 

FNMA POOL AB6832

 

3.5% 01 Nov 2042

 

2,968,221

 

 

 

3,173,569

 

 

158



Table of Contents

 

 

 

FNMA POOL AB7426

 

3% 01 Dec 2042

 

2,502,673

 

 

 

2,633,791

 

 

 

FNMA POOL AC1889

 

4% 01 Sep 2039

 

808,215

 

 

 

867,009

 

 

 

FNMA POOL AC2953

 

4.5% 01 Sep 2039

 

15,692,025

 

 

 

16,956,247

 

 

 

FNMA POOL AC3424

 

1% 01 Oct 2039

 

317,922

 

 

 

340,039

 

 

 

FNMA POOL AC3876

 

1% 01 Dec 2039

 

372,459

 

 

 

397,944

 

 

 

FNMA POOL AC8546

 

1% 01 Jan 2040

 

1,259,299

 

 

 

1,333,413

 

 

 

FNMA POOL AC8568

 

4.5% 01 Jan 2040

 

1,208,359

 

 

 

1,305,710

 

 

 

FNMA POOL AC9564

 

4.5% 01 Feb 2040

 

1,032,081

 

 

 

1,145,870

 

 

 

FNMA POOL AD0567

 

6.5% 01 Dec 2039

 

189,342

 

 

 

212,626

 

 

 

FNMA POOL AD5479

 

5% 01 Jun 2040

 

220,579

 

 

 

239,310

 

 

 

FNMA POOL AD9713

 

5% 01 Aug 2040

 

548,641

 

 

 

603,881

 

 

 

FNMA POOL AD9870

 

4% 01 Oct 2040

 

264,105

 

 

 

283,400

 

 

 

FNMA POOL AE0113

 

4% 01 Jul 2040

 

1,350,180

 

 

 

1,447,557

 

 

 

FNMA POOL AE0967

 

3.5% 01 Jun 2039

 

1,195,140

 

 

 

1,275,395

 

 

 

FNMA POOL AH0210

 

4.5% 01 Dec 2040

 

2,543,833

 

 

 

2,824,296

 

 

 

FNMA POOL AH2899

 

4.5% 01 Jan 2041

 

2,936,692

 

 

 

3,231,101

 

 

 

FNMA POOL AH3324

 

3.5% 01 Feb 2026

 

237,744

 

 

 

252,348

 

 

 

FNMA POOL AH3765

 

4% 01 Jan 2041

 

6,851,753

 

 

 

7,482,945

 

 

 

FNMA POOL AH5616

 

3.5% 01 Feb 2026

 

150,608

 

 

 

159,859

 

 

 

FNMA POOL AH5929

 

3.5% 01 Feb 2026

 

331,360

 

 

 

351,715

 

 

 

FNMA POOL AH5984

 

4.5% 01 Mar 2041

 

1,699,986

 

 

 

1,887,414

 

 

 

FNMA POOL AH6210

 

3.5% 01 Feb 2026

 

161,913

 

 

 

171,859

 

 

 

FNMA POOL AH6438

 

3.5% 01 Feb 2026

 

370,539

 

 

 

393,301

 

 

 

FNMA POOL AH9374

 

4.5% 01 Apr 2041

 

1,149,711

 

 

 

1,248,086

 

 

 

FNMA POOL AI1051

 

4% 01 Jun 2026

 

1,742,169

 

 

 

1,866,607

 

 

 

FNMA POOL AK0968

 

3% 01 Feb 2027

 

1,414,634

 

 

 

1,508,840

 

 

 

FNMA POOL AK1140

 

3% 01 Feb 2027

 

952,729

 

 

 

1,016,175

 

 

 

FNMA POOL AK1608

 

3% 01 Jan 2027

 

941,051

 

 

 

1,003,719

 

 

 

FNMA POOL AK5567

 

3% 01 Apr 2027

 

1,418,580

 

 

 

1,513,048

 

 

 

FNMA POOL AK6966

 

3% 01 Mar 2027

 

1,414,828

 

 

 

1,509,047

 

 

 

FNMA POOL AK7088

 

3.5% 01 Apr 2042

 

915,791

 

 

 

979,147

 

 

 

FNMA POOL AK8660

 

3% 01 Apr 2027

 

1,404,242

 

 

 

1,497,756

 

 

 

FNMA POOL AL1895

 

3.5% 01 Jun 2042

 

981,347

 

 

 

1,058,745

 

 

 

FNMA POOL AL1945

 

3.5% 01 Jun 2042

 

2,890,965

 

 

 

3,118,974

 

 

 

FNMA POOL AL2389

 

3.5% 01 Sep 2042

 

1,465,685

 

 

 

1,581,283

 

 

 

FNMA POOL AO0454

 

3.5% 01 Aug 2042

 

997,801

 

 

 

1,076,497

 

 

 

FNMA POOL AO0527

 

3% 01 May 2027

 

1,860,679

 

 

 

1,984,589

 

 

 

FNMA POOL AP2611

 

3.5% 01 Sep 2042

 

1,011,731

 

 

 

1,091,525

 

 

 

FNMA POOL AP3308

 

3.5% 01 Sep 2042

 

984,671

 

 

 

1,062,332

 

 

 

FNMA POOL AP3902

 

3% 01 Oct 2042

 

995,931

 

 

 

1,048,109

 

 

 

FNMA POOL AP4539

 

3.5% 01 Sep 2042

 

1,990,711

 

 

 

2,132,165

 

 

 

FNMA POOL AP8903

 

3.5% 01 Oct 2042

 

1,992,229

 

 

 

2,141,884

 

 

 

FNMA POOL MA0243

 

5% 01 Nov 2029

 

1,644,047

 

 

 

1,780,911

 

 

 

FNMA POOL MA0318

 

4.5% 01 Feb 2030

 

351,611

 

 

 

380,707

 

 

 

FNMA POOL MA0648

 

3.5% 01 Feb 2026

 

234,173

 

 

 

248,557

 

 

 

FNMA POOL MA0734

 

4.5% 01 May 2031

 

2,539,403

 

 

 

2,760,654

 

 

 

FNMA POOL MA0776

 

4.5% 01 Jun 2031

 

1,652,938

 

 

 

1,796,954

 

 

 

FNMA POOL MA0918

 

4% 01 Dec 2041

 

5,782,916

 

 

 

6,207,216

 

 

 

FNMA TBA 15 YR

 

3% 01 Dec 2099

 

2,500,000

 

 

 

2,638,672

 

 

 

FNMA TBA 15 YR

 

3.5% 01 Dec 2099

 

1,000,000

 

 

 

1,060,781

 

 

 

FNMA TBA 30YR SINGLE FAMILY JA

 

3.5% 01 Dec 2099

 

7,000,000

 

 

 

7,462,930

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

6% 01 Dec 2099

 

500,000

 

 

 

546,094

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

3.875% 15 Jan 2015

 

1,335,000

 

 

 

1,392,195

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

5% 15 May 2018

 

1,280,000

 

 

 

1,412,398

 

 

 

FRANCE TELECOM SR UNSECURED

 

2.125% 16 Sep 2015

 

360,000

 

 

 

370,274

 

 

 

FREDDIE MAC NOTES

 

0.75% 12 Jan 2018

 

4,190,000

 

 

 

4,161,621

 

 

 

FREDDIE MAC NOTES

 

2.375% 13 Jan 2022

 

1,000,000

 

 

 

1,044,675

 

 

 

FREDDIE MAC NOTES

 

2% 25 Aug 2016

 

5,500,000

 

 

 

5,788,398

 

 

 

FREDDIE MAC NOTES

 

1.25% 01 Aug 2019

 

750,000

 

 

 

751,038

 

 

 

FREDDIE MAC NOTES

 

1% 29 Sep 2017

 

1,775,000

 

 

 

1,793,650

 

 

 

FREDDIE MAC NOTES

 

1.25% 02 Oct 2019

 

1,670,000

 

 

 

1,665,114

 

 

 

FREDDIE MAC SENIOR NOTES

 

0.625% 01 Nov 2016

 

2,465,000

 

 

 

2,466,021

 

 

 

GCCFC COMMERCIAL MORTGAGE TRUS GCCFC 2005 GG3 AJ

 

1% 10 Aug 2042

 

777,000

 

 

 

821,280

 

 

 

GCCFC COMMERCIAL MORTGAGE TRUS GCCFC 2007 GG9 A2

 

5.381% 10 Mar 2039

 

1,333,377

 

 

 

1,376,034

 

 

 

GE COMMERCIAL MORTGAGE CORPORA GECMC 2007 C1 A3

 

5.481% 10 Dec 2049

 

2,000,000

 

 

 

2,107,592

 

 

 

GENERAL DYNAMICS CORP COMPANY GUAR

 

2.25% 15 Nov 2022

 

1,125,000

 

 

 

1,100,908

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

5.625% 01 May 2018

 

2,735,000

 

 

 

3,247,905

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

5.55% 04 May 2020

 

220,000

 

 

 

261,531

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

3.15% 07 Sep 2022

 

2,055,000

 

 

 

2,099,579

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

3.35% 17 Oct 2016

 

1,725,000

 

 

 

1,851,591

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

4.65% 17 Oct 2021

 

290,000

 

 

 

330,900

 

 

 

GENERAL MILLS INC SR UNSECURED

 

5.7% 15 Feb 2017

 

1,805,000

 

 

 

2,121,048

 

 

 

GEORGIA POWER COMPANY SR UNSECURED

 

5.7% 01 Jun 2017

 

2,840,000

 

 

 

3,406,946

 

 

 

GILEAD SCIENCES INC SR UNSECURED

 

2.4% 01 Dec 2014

 

350,000

 

 

 

360,930

 

 

 

GLAXOSMITHKLINE CAPITAL COMPANY GUAR

 

1.5% 08 May 2017

 

1,715,000

 

 

 

1,739,934

 

 

 

GMAC COMMERCIAL MORTGAGE SECUR GMACC 2006 C1 A4

 

1% 10 Nov 2045

 

2,000,000

 

 

 

2,204,856

 

 

 

GNMA I TBA JAN 30 SINGLE FAM

 

4% 01 Dec 2099

 

7,000,000

 

 

 

7,677,032

 

 

 

GNMA I TBA JAN 30 SINGLE FAM

 

5.5% 01 Dec 2099

 

5,500,000

 

 

 

6,034,531

 

 

 

GNMA I TBA JAN 30 SINGLE FAM

 

6% 01 Dec 2099

 

1,500,000

 

 

 

1,673,320

 

 

 

GNMA I SINGLE FAMILY MORTGAGE

 

3.5% 01 Dec 2099

 

1,000,000

 

 

 

1,084,766

 

 

159



Table of Contents

 

 

 

GNMA II JUMBOS 30 YRS

 

3.5% 01 Dec 2099

 

2,000,000

 

 

 

2,172,969

 

 

 

GNMA II POOL 004520

 

5% 20 Aug 2039

 

1,551,163

 

 

 

1,712,108

 

 

 

GNMA II POOL 004746

 

4.5% 20 Jul 2040

 

9,702,401

 

 

 

10,728,262

 

 

 

GNMA II POOL 004747

 

5% 20 Jul 2040

 

3,202,668

 

 

 

3,548,997

 

 

 

GNMA II POOL 004833

 

4% 20 Oct 2040

 

10,212,490

 

 

 

11,215,488

 

 

 

GNMA II POOL 004922

 

4% 20 Jan 2041

 

1,024,309

 

 

 

1,125,227

 

 

 

GNMA II POOL 004923

 

4.5% 20 Jan 2041

 

760,662

 

 

 

839,137

 

 

 

GNMA II POOL 004945

 

4% 20 Feb 2041

 

2,468,045

 

 

 

2,708,119

 

 

 

GNMA II POOL 004978

 

4.5% 20 Mar 2041

 

1,073,660

 

 

 

1,181,314

 

 

 

GNMA II POOL 004979

 

5% 20 Mar 2041

 

4,844,212

 

 

 

5,349,863

 

 

 

GNMA II POOL 004984

 

5.5% 20 Mar 2041

 

984,980

 

 

 

1,081,058

 

 

 

GNMA II POOL 005017

 

4.5% 20 Apr 2041

 

3,056,763

 

 

 

3,349,380

 

 

 

GNMA II POOL 005055

 

4.5% 20 May 2041

 

3,402,643

 

 

 

3,753,686

 

 

 

GNMA II POOL 005115

 

4.5% 20 Jul 2041

 

1,488,082

 

 

 

1,636,842

 

 

 

GNMA II POOL 005140

 

4.5% 20 Aug 2041

 

6,405,703

 

 

 

7,066,565

 

 

 

GNMA II POOL 005326

 

3% 20 Mar 2027

 

1,388,267

 

 

 

1,485,084

 

 

 

GNMA II POOL 005332

 

4% 20 Mar 2042

 

4,857,238

 

 

 

5,291,975

 

 

 

GNMA II POOL MA0023

 

4% 20 Apr 2042

 

1,942,035

 

 

 

2,115,853

 

 

 

GNMA II POOL MA0318

 

3.5% 20 Aug 2042

 

9,441,069

 

 

 

10,270,717

 

 

 

GNMA II POOL MA0392

 

3.5% 20 Sep 2042

 

4,965,451

 

 

 

5,401,797

 

 

 

GNMA II POOL MA0462

 

3.5% 20 Oct 2042

 

1,998,308

 

 

 

2,173,913

 

 

 

GNMA II TBA JAN 30 JUMBOS

 

4.5% 01 Dec 2099

 

4,000,000

 

 

 

4,379,375

 

 

 

GNMA II TBA JAN 30 JUMBOS

 

5% 01 Dec 2099

 

2,000,000

 

 

 

2,187,187

 

 

 

GNMA POOL 561294

 

5.5% 15 Feb 2033

 

210,389

 

 

 

232,456

 

 

 

GNMA POOL 723344

 

4% 15 Sep 2039

 

1,355,137

 

 

 

1,491,363

 

 

 

GNMA POOL 723430

 

4.5% 15 Nov 2039

 

2,523,868

 

 

 

2,779,218

 

 

 

GNMA POOL 737111

 

4.5% 15 Apr 2040

 

2,994,333

 

 

 

3,293,330

 

 

 

GNMA POOL 738882

 

4% 15 Oct 2041

 

965,616

 

 

 

1,059,970

 

 

 

GNMA POOL 745243

 

4% 15 Jul 2040

 

1,780,131

 

 

 

1,965,755

 

 

 

GNMA POOL 771561

 

4% 15 Aug 2041

 

841,786

 

 

 

935,088

 

 

 

GNMA TBA 30YR

 

3% 01 Dec 2099

 

16,000,000

 

 

 

17,007,501

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.75% 24 Jan 2022

 

300,000

 

 

 

354,664

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

3.625% 07 Feb 2016

 

725,000

 

 

 

767,429

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.375% 15 Mar 2020

 

155,000

 

 

 

177,635

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

6.15% 01 Apr 2018

 

4,015,000

 

 

 

4,716,694

 

 

 

GOVERNMENT NATL MTG ASSN

 

3% 01 Dec 2099

 

2,500,000

 

 

 

2,657,813

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2006 GG6 A4

 

5.553% 10 Apr 2038

 

810,000

 

 

 

911,930

 

 

 

HARTFORD FINL SVCS GRP SR UNSECURED

 

5.5% 30 Mar 2020

 

1,365,000

 

 

 

1,585,959

 

 

 

HARTFORD FINL SVCS GRP SR UNSECURED

 

5.125% 15 Apr 2022

 

690,000

 

 

 

796,157

 

 

 

HCP INC SR UNSECURED

 

2.7% 01 Feb 2014

 

105,000

 

 

 

106,884

 

 

 

HEWLETT PACKARD CO SR UNSECURED

 

1.25% 13 Sep 2013

 

705,000

 

 

 

704,992

 

 

 

HONEYWELL INTERNATIONAL SR UNSECURED

 

5% 15 Feb 2019

 

650,000

 

 

 

773,018

 

 

 

HSBC BANK USA NA SUB NOTES

 

4.875% 24 Aug 2020

 

265,000

 

 

 

295,326

 

 

 

HSBC FINANCE CORP SR SUBORDINA

 

6.676% 15 Jan 2021

 

120,000

 

 

 

142,365

 

 

 

HSBC HOLDINGS PLC SR UNSECURED

 

5.1% 05 Apr 2021

 

2,700,000

 

 

 

3,188,379

 

 

 

INGERSOLL RAND GL HLD CO COMPANY GUAR

 

6.875% 15 Aug 2018

 

535,000

 

 

 

653,283

 

 

 

INTEL CORP SR UNSECURED

 

1.35% 15 Dec 2017

 

2,815,000

 

 

 

2,814,186

 

 

 

INTL PAPER CO SR UNSECURED

 

7.95% 15 Jun 2018

 

595,000

 

 

 

769,231

 

 

 

JOHN DEERE CAPITAL CORP SR UNSECURED

 

2.25% 07 Jun 2016

 

235,000

 

 

 

245,872

 

 

 

JOHNSON + JOHNSON SR UNSECURED

 

5.15% 15 Jul 2018

 

1,305,000

 

 

 

1,583,591

 

 

 

JOHNSON CONTROLS INC SR UNSECURED

 

1.75% 01 Mar 2014

 

240,000

 

 

 

243,241

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2004 CBX AJ

 

4.951% 12 Jan 2037

 

500,000

 

 

 

511,899

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 CB12 AM

 

4.948% 12 Sep 2037

 

190,000

 

 

 

203,132

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP2 AM

 

4.78% 15 Jul 2042

 

615,000

 

 

 

664,089

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP4 AM

 

4.999% 15 Oct 2042

 

1,110,000

 

 

 

1,207,334

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 CB14 A4

 

1% 12 Dec 2044

 

2,600,000

 

 

 

2,922,132

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP6 A4

 

1% 15 Apr 2043

 

1,473,787

 

 

 

1,664,489

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

6.3% 23 Apr 2019

 

4,360,000

 

 

 

5,379,202

 

 

 

JPMORGAN CHASE + CO SUBORDINATED

 

5.75% 02 Jan 2013

 

3,185,000

 

 

 

3,185,000

 

 

 

KELLOGG CO SR UNSECURED

 

1.75% 17 May 2017

 

605,000

 

 

 

614,824

 

 

 

KEYCORP SR UNSECURED

 

5.1% 24 Mar 2021

 

280,000

 

 

 

326,203

 

 

 

KINDER MORGAN ENER PART SR UNSECURED

 

6% 01 Feb 2017

 

535,000

 

 

 

624,884

 

 

 

KINDER MORGAN ENER PART SR UNSECURED

 

6.85% 15 Feb 2020

 

905,000

 

 

 

1,140,243

 

 

 

KOREA DEVELOPMENT BANK SR UNSECURED

 

3.875% 04 May 2017

 

305,000

 

 

 

329,741

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

5.375% 10 Feb 2020

 

827,000

 

 

 

992,986

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2005 C7 AM

 

1% 15 Nov 2040

 

470,000

 

 

 

516,607

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C1 A3

 

5.398% 15 Feb 2040

 

1,896,165

 

 

 

1,967,724

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C6 A2

 

5.845% 15 Jul 2040

 

575,761

 

 

 

589,751

 

 

 

LLOYDS TSB BANK PLC BANK GUARANT

 

4.875% 21 Jan 2016

 

855,000

 

 

 

942,971

 

 

 

LOCKHEED MARTIN CORP SR UNSECURED

 

4.25% 15 Nov 2019

 

772,000

 

 

 

870,484

 

 

 

MCDONALD S CORP SR UNSECURED

 

1.875% 29 May 2019

 

535,000

 

 

 

544,379

 

 

 

MCDONALD S CORP SR UNSECURED

 

5.8% 15 Oct 2017

 

1,280,000

 

 

 

1,555,151

 

 

 

MCKESSON CORP SR UNSECURED

 

5.7% 01 Mar 2017

 

500,000

 

 

 

590,693

 

 

 

MERCK + CO INC SR UNSECURED

 

3.875% 15 Jan 2021

 

1,450,000

 

 

 

1,627,257

 

 

 

MERCK + CO INC SR UNSECURED

 

6% 15 Sep 2017

 

2,520,000

 

 

 

3,088,462

 

 

 

MERRILL LYNCH MORTGAGE TRUST MLMT 2005 LC1 AM

 

5.444% 12 Jan 2044

 

190,000

 

 

 

209,979

 

 

 

MERRILL LYNCH MORTGAGE TRUST MLMT 2006 C1 AM

 

1% 12 May 2039

 

1,120,000

 

 

 

1,256,068

 

 

 

METLIFE INC SR UNSECURED

 

2.375% 06 Feb 2014

 

365,000

 

 

 

371,833

 

 

 

METLIFE INC SR UNSECURED

 

6.75% 01 Jun 2016

 

2,515,000

 

 

 

2,978,630

 

 

 

MICROSOFT CORP SR UNSECURED

 

2.5% 08 Feb 2016

 

1,735,000

 

 

 

1,826,356

 

 

160



Table of Contents

 

 

 

MICROSOFT CORP SR UNSECURED

 

3% 01 Oct 2020

 

1,170,000

 

 

 

1,262,608

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 1 A4

 

1% 12 Feb 2039

 

3,880,000

 

 

 

4,373,226

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 1 AM

 

5.531592% 12 Feb 2039

 

950,000

 

 

 

1,056,353

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 2 A4

 

1% 12 Jun 2046

 

2,775,000

 

 

 

3,196,653

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 2 AM

 

5.90083% 12 Jun 2046

 

280,000

 

 

 

310,822

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2007 5 A3

 

5.364% 12 Aug 2048

 

1,675,000

 

 

 

1,729,788

 

 

 

MOLSON COORS BREWING CO COMPANY GUAR

 

2% 01 May 2017

 

380,000

 

 

 

389,281

 

 

 

MONDELEZ INTERNATIONAL SR UNSECURED

 

5.375% 10 Feb 2020

 

753,000

 

 

 

909,068

 

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2006 HQ8 A4

 

1% 12 Mar 2044

 

2,000,000

 

 

 

2,236,360

 

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2006 HQ9 AM

 

5.773% 12 Jul 2044

 

320,000

 

 

 

360,516

 

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2006 IQ11 AM

 

5.695% 15 Oct 2042

 

160,000

 

 

 

178,646

 

 

 

MORGAN STANLEY SR UNSECURED

 

5.75% 25 Jan 2021

 

100,000

 

 

 

114,204

 

 

 

MORGAN STANLEY SR UNSECURED

 

3.8% 29 Apr 2016

 

1,375,000

 

 

 

1,443,454

 

 

 

MORGAN STANLEY SR UNSECURED

 

5.625% 23 Sep 2019

 

2,920,000

 

 

 

3,302,462

 

 

 

MORGAN STANLEY SUBORDINATED

 

4.875% 01 Nov 2022

 

400,000

 

 

 

414,158

 

 

 

NABORS INDUSTRIES INC COMPANY GUAR

 

9.25% 15 Jan 2019

 

1,785,000

 

 

 

2,359,857

 

 

 

NABORS INDUSTRIES INC COMPANY GUAR

 

6.15% 15 Feb 2018

 

1,210,000

 

 

 

1,423,010

 

 

 

NBCUNIVERSAL MEDIA LLC SR UNSECURED

 

5.15% 30 Apr 2020

 

75,000

 

 

 

88,909

 

 

 

NEWMONT MINING CORP COMPANY GUAR

 

3.5% 15 Mar 2022

 

870,000

 

 

 

897,287

 

 

 

NEWS AMERICA INC COMPANY GUAR

 

6.9% 01 Mar 2019

 

2,605,000

 

 

 

3,264,745

 

 

 

NOBLE ENERGY INC SR UNSECURED

 

8.25% 01 Mar 2019

 

935,000

 

 

 

1,225,435

 

 

 

NOBLE ENERGY INC SR UNSECURED

 

4.15% 15 Dec 2021

 

485,000

 

 

 

535,411

 

 

 

NORFOLK SOUTHERN CORP SR UNSECURED

 

5.75% 01 Apr 2018

 

785,000

 

 

 

937,493

 

 

 

NORFOLK SOUTHERN CORP SR UNSECURED

 

3% 01 Apr 2022

 

765,000

 

 

 

784,693

 

 

 

NORFOLK SOUTHERN CORP SR UNSECURED

 

5.9% 15 Jun 2019

 

705,000

 

 

 

859,343

 

 

 

NORTHROP GRUMMAN CORP SR UNSECURED

 

5.05% 01 Aug 2019

 

2,290,000

 

 

 

2,672,954

 

 

 

NOVARTIS CAPITAL CORP COMPANY GUAR

 

4.125% 10 Feb 2014

 

500,000

 

 

 

520,014

 

 

 

NOVARTIS CAPITAL CORP COMPANY GUAR

 

4.4% 24 Apr 2020

 

250,000

 

 

 

291,600

 

 

 

NOVARTIS CAPITAL CORP COMPANY GUAR

 

2.4% 21 Sep 2022

 

1,260,000

 

 

 

1,263,398

 

 

 

NOVARTIS SECS INVEST LTD COMPANY GUAR

 

5.125% 10 Feb 2019

 

525,000

 

 

 

627,466

 

 

 

OCCIDENTAL PETROLEUM COR SR UNSECURED

 

4.1% 01 Feb 2021

 

1,355,000

 

 

 

1,549,303

 

 

 

ONEOK PARTNERS LP COMPANY GUAR

 

8.625% 01 Mar 2019

 

1,070,000

 

 

 

1,420,682

 

 

 

ONEOK PARTNERS LP COMPANY GUAR

 

3.375% 01 Oct 2022

 

720,000

 

 

 

733,712

 

 

 

ORACLE CORP SR UNSECURED

 

4.95% 15 Apr 2013

 

1,675,000

 

 

 

1,696,495

 

 

 

ORACLE CORP SR UNSECURED

 

5.75% 15 Apr 2018

 

724,000

 

 

 

881,112

 

 

 

ORACLE CORP SR UNSECURED

 

5% 08 Jul 2019

 

1,705,000

 

 

 

2,047,521

 

 

 

ORACLE CORP SR UNSECURED

 

2.5% 15 Oct 2022

 

590,000

 

 

 

595,315

 

 

 

PACIFIC GAS + ELECTRIC SR UNSECURED

 

4.8% 01 Mar 2014

 

390,000

 

 

 

408,637

 

 

 

PEPSICO INC SR UNSECURED

 

5% 01 Jun 2018

 

3,265,000

 

 

 

3,872,437

 

 

 

PFIZER INC SR UNSECURED

 

6.2% 15 Mar 2019

 

1,795,000

 

 

 

2,268,837

 

 

 

PHILIP MORRIS INTL INC SR UNSECURED

 

4.875% 16 May 2013

 

1,905,000

 

 

 

1,935,848

 

 

 

PNC FUNDING CORP BANK GUARANT

 

5.4% 10 Jun 2014

 

1,145,000

 

 

 

1,221,228

 

 

 

PNC FUNDING CORP BANK GUARANT

 

6.7% 10 Jun 2019

 

1,635,000

 

 

 

2,085,989

 

 

 

PNC FUNDING CORP BANK GUARANT

 

4.375% 11 Aug 2020

 

595,000

 

 

 

678,633

 

 

 

PRECISION CASTPARTS CORP SR UNSECURED

 

2.5% 15 Jan 2023

 

590,000

 

 

 

593,781

 

 

 

PRINCIPAL FINANCIAL GROU COMPANY GUAR

 

1.85% 15 Nov 2017

 

410,000

 

 

 

412,169

 

 

 

PROCTER + GAMBLE CO/THE SR UNSECURED

 

4.7% 15 Feb 2019

 

1,080,000

 

 

 

1,275,984

 

 

 

PROCTER + GAMBLE CO/THE SR UNSECURED

 

2.3% 06 Feb 2022

 

695,000

 

 

 

707,253

 

 

 

PROGRESS ENERGY INC SR UNSECURED

 

4.875% 01 Dec 2019

 

1,890,000

 

 

 

2,167,299

 

 

 

QUEST DIAGNOSTIC INC COMPANY GUAR

 

5.45% 01 Nov 2015

 

1,095,000

 

 

 

1,215,866

 

 

 

RABOBANK NEDERLAND BANK GUARANT

 

1.85% 10 Jan 2014

 

860,000

 

 

 

871,433

 

 

 

RAYTHEON COMPANY SR UNSECURED

 

3.125% 15 Oct 2020

 

550,000

 

 

 

585,145

 

 

 

REPUBLIC OF CHILE SR UNSECURED

 

3.25% 14 Sep 2021

 

1,370,000

 

 

 

1,486,450

 

 

 

REYNOLDS AMERICAN INC COMPANY GUAR

 

6.75% 15 Jun 2017

 

1,135,000

 

 

 

1,370,646

 

 

 

REYNOLDS AMERICAN INC COMPANY GUAR

 

3.25% 01 Nov 2022

 

1,245,000

 

 

 

1,250,596

 

 

 

RIO TINTO FIN USA LTD COMPANY GUAR

 

3.5% 02 Nov 2020

 

435,000

 

 

 

461,107

 

 

 

RIO TINTO FIN USA PLC COMPANY GUAR

 

3.5% 22 Mar 2022

 

1,865,000

 

 

 

1,962,310

 

 

 

ROGERS COMMUNICATIONS IN COMPANY GUAR

 

6.8% 15 Aug 2018

 

445,000

 

 

 

562,909

 

 

 

ROYAL BANK OF CANADA SR UNSECURED

 

1.45% 30 Oct 2014

 

1,570,000

 

 

 

1,597,031

 

 

 

ROYAL BK OF SCOTLAND PLC COMPANY GUAR

 

3.4% 23 Aug 2013

 

650,000

 

 

 

659,645

 

 

 

ROYAL BK SCOTLND GRP PLC SR UNSECURED

 

6.4% 21 Oct 2019

 

670,000

 

 

 

791,699

 

 

 

SAFEWAY INC SR UNSECURED

 

5% 15 Aug 2019

 

935,000

 

 

 

1,005,951

 

 

 

SANOFI SR UNSECURED

 

2.625% 29 Mar 2016

 

585,000

 

 

 

615,726

 

 

 

SHELL INTERNATIONAL FIN COMPANY GUAR

 

4.3% 22 Sep 2019

 

395,000

 

 

 

457,606

 

 

 

SIMON PROPERTY GROUP LP SR UNSECURED

 

6.75% 15 May 2014

 

5,459,000

 

 

 

5,822,984

 

 

 

SLM CORP SR UNSECURED

 

6% 25 Jan 2017

 

570,000

 

 

 

617,025

 

 

 

SLM CORP SR UNSECURED

 

8.45% 15 Jun 2018

 

2,195,000

 

 

 

2,568,150

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

121,868,567

 

 

 

121,868,567

 

 

 

STATE OF ISRAEL SR UNSECURED

 

4% 30 Jun 2022

 

655,000

 

 

 

713,131

 

 

 

STATOIL ASA COMPANY GUAR

 

5.25% 15 Apr 2019

 

1,405,000

 

 

 

1,684,698

 

 

 

TELECOM ITALIA CAPITAL COMPANY GUAR

 

5.25% 01 Oct 2015

 

1,230,000

 

 

 

1,308,720

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

3.729% 27 Apr 2015

 

975,000

 

 

 

1,001,715

 

 

 

TENN VALLEY AUTHORITY SR UNSECURED

 

3.875% 15 Feb 2021

 

1,450,000

 

 

 

1,682,655

 

 

 

TENN VALLEY AUTHORITY SR UNSECURED

 

5.5% 18 Jul 2017

 

440,000

 

 

 

532,141

 

 

 

TEVA PHARMA FIN II/III COMPANY GUAR

 

3% 15 Jun 2015

 

970,000

 

 

 

1,019,826

 

 

 

TEVA PHARMACEUT FIN BV COMPANY GUAR

 

2.95% 18 Dec 2022

 

1,175,000

 

 

 

1,188,581

 

 

 

TEXTRON INC SR UNSECURED

 

6.2% 15 Mar 2015

 

550,000

 

 

 

602,817

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

8.75% 14 Feb 2019

 

620,000

 

 

 

836,479

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

5.85% 01 May 2017

 

990,000

 

 

 

1,169,505

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

6.2% 01 Jul 2013

 

2,960,000

 

 

 

3,041,249

 

 

161



Table of Contents

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

4% 01 Sep 2021

 

500,000

 

 

 

548,833

 

 

 

TIME WARNER INC COMPANY GUAR

 

4.75% 29 Mar 2021

 

2,650,000

 

 

 

3,045,409

 

 

 

TIME WARNER INC COMPANY GUAR

 

3.15% 15 Jul 2015

 

1,960,000

 

 

 

2,072,690

 

 

 

TOTAL CAPITAL INTL SA COMPANY GUAR

 

2.875% 17 Feb 2022

 

1,165,000

 

 

 

1,216,053

 

 

 

TRANSOCEAN INC COMPANY GUAR

 

2.5% 15 Oct 2017

 

455,000

 

 

 

459,787

 

 

 

TRAVELERS COS INC SR UNSECURED

 

5.8% 15 May 2018

 

1,640,000

 

 

 

1,986,639

 

 

 

TYCO ELECTRONICS GROUP S COMPANY GUAR

 

6.55% 01 Oct 2017

 

465,000

 

 

 

557,587

 

 

 

ULTRA LONG US TREAS BOND FTRS

 

MAR13 XCBT

 

(10,600,000

)

 

 

223,539

 

 

 

UNILEVER CAPITAL CORP COMPANY GUAR

 

4.25% 10 Feb 2021

 

1,330,000

 

 

 

1,535,133

 

 

 

UNITED MEXICAN STATES SR UNSECURED

 

5.95% 19 Mar 2019

 

3,642,000

 

 

 

4,479,660

 

 

 

UNITED PARCEL SERVICE SR UNSECURED

 

3.125% 15 Jan 2021

 

435,000

 

 

 

467,934

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

6% 15 Feb 2018

 

600,000

 

 

 

730,311

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

1.4% 15 Oct 2017

 

475,000

 

 

 

475,743

 

 

 

US DOLLAR

 

 

 

(109,130

)

 

 

(109,130

)

 

 

US TREASURY N/B

 

3.125% 31 Jan 2017

 

3,180,000

 

 

 

3,510,669

 

 

 

US TREASURY N/B

 

1.875% 28 Feb 2014

 

23,840,000

 

 

 

24,299,111

 

 

 

US TREASURY N/B

 

4% 15 Feb 2014

 

18,820,000

 

 

 

19,617,648

 

 

 

US TREASURY N/B

 

2.375% 28 Feb 2015

 

40,360,000

 

 

 

42,176,200

 

 

 

US TREASURY N/B

 

4.5% 15 Feb 2016

 

3,845,000

 

 

 

4,333,734

 

 

 

US TREASURY N/B

 

3.5% 15 Feb 2018

 

16,480,000

 

 

 

18,765,315

 

 

 

US TREASURY N/B

 

8.5% 15 Feb 2020

 

8,935,000

 

 

 

13,449,963

 

 

 

US TREASURY N/B

 

1.75% 31 Mar 2014

 

3,850,000

 

 

 

3,923,239

 

 

 

US TREASURY N/B

 

0.01% 31 Mar 2017

 

3,445,000

 

 

 

3,830,947

 

 

 

US TREASURY N/B

 

1.875% 30 Apr 2014

 

4,115,000

 

 

 

4,205,176

 

 

 

US TREASURY N/B

 

1% 15 May 2014

 

22,330,000

 

 

 

22,568,998

 

 

 

US TREASURY N/B

 

2.125% 31 May 2015

 

15,520,000

 

 

 

16,192,932

 

 

 

US TREASURY N/B

 

3.25% 31 May 2016

 

12,085,000

 

 

 

13,233,075

 

 

 

US TREASURY N/B

 

7.25% 15 May 2016

 

2,470,000

 

 

 

3,032,310

 

 

 

US TREASURY N/B

 

8.75% 15 May 2020

 

315,000

 

 

 

483,746

 

 

 

US TREASURY N/B

 

0.25% 30 Jun 2014

 

7,145,000

 

 

 

7,147,794

 

 

 

US TREASURY N/B

 

0.75% 15 Jun 2014

 

25,470,000

 

 

 

25,667,978

 

 

 

US TREASURY N/B

 

1.5% 30 Jun 2016

 

4,195,000

 

 

 

4,348,378

 

 

 

US TREASURY N/B

 

3.25% 30 Jun 2016

 

1,395,000

 

 

 

1,530,249

 

 

 

US TREASURY N/B

 

2.375% 30 Jun 2018

 

16,230,000

 

 

 

17,589,263

 

 

 

US TREASURY N/B

 

0.75% 15 Jul 2014

 

9,485,000

 

 

 

9,543,172

 

 

 

US TREASURY N/B

 

0.5% 15 Aug 2014

 

24,610,000

 

 

 

24,717,669

 

 

 

US TREASURY N/B

 

1% 31 Aug 2016

 

8,175,000

 

 

 

8,330,832

 

 

 

US TREASURY N/B

 

1.875% 31 Aug 2017

 

11,740,000

 

 

 

12,399,459

 

 

 

US TREASURY N/B

 

4.75% 15 Aug 2017

 

915,000

 

 

 

1,086,348

 

 

 

US TREASURY N/B

 

1.625% 15 Aug 2022

 

8,030,000

 

 

 

7,977,307

 

 

 

US TREASURY N/B

 

1.875% 30 Sep 2017

 

6,800,000

 

 

 

7,180,378

 

 

 

US TREASURY N/B

 

1.375% 30 Sep 2018

 

2,075,000

 

 

 

2,133,036

 

 

 

US TREASURY N/B

 

3.125% 31 Oct 2016

 

22,310,000

 

 

 

24,521,836

 

 

 

US TREASURY N/B

 

2.125% 30 Nov 2014

 

22,265,000

 

 

 

23,054,717

 

 

 

US TREASURY N/B

 

4.25% 15 Nov 2014

 

7,025,000

 

 

 

7,546,662

 

 

 

US TREASURY N/B

 

1.5% 30 Nov 2015

 

5,515,000

 

 

 

5,677,003

 

 

 

US TREASURY N/B

 

4.625% 15 Nov 2016

 

5,760,000

 

 

 

6,665,403

 

 

 

US TREASURY N/B

 

1% 30 Nov 2019

 

30,900,000

 

 

 

30,600,641

 

 

 

US TREASURY N/B

 

2.625% 15 Nov 2020

 

4,140,000

 

 

 

4,543,650

 

 

 

US TREASURY N/B

 

1.625% 15 Nov 2022

 

15,386,000

 

 

 

15,217,708

 

 

 

US TREASURY N/B

 

0.01% 31 Dec 2014

 

36,010,000

 

 

 

35,919,975

 

 

 

US TREASURY N/B

 

0.25% 15 Dec 2015

 

43,290,000

 

 

 

43,161,472

 

 

 

US TREASURY N/B

 

0.625% 31 Dec 2017

 

4,765,000

 

 

 

4,772,819

 

 

 

US TREASURY N/B

 

1.125% 31 Dec 2019

 

7,350,000

 

 

 

7,329,332

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

4.6% 01 Apr 2021

 

2,215,000

 

 

 

2,585,397

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

2.45% 01 Nov 2022

 

425,000

 

 

 

425,142

 

 

 

VIACOM INC SR UNSECURED

 

3.125% 15 Jun 2022

 

490,000

 

 

 

501,662

 

 

 

VIACOM INC SR UNSECURED

 

5.625% 15 Sep 2019

 

710,000

 

 

 

848,675

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2005 C17 AJ

 

5.224% 15 Mar 2042

 

380,000

 

 

 

403,392

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2005 C19 AM

 

4.75% 15 May 2044

 

1,000,000

 

 

 

1,077,287

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2005 C20 AMFX

 

5.179% 15 Jul 2042

 

560,000

 

 

 

613,436

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C25 A5

 

5.7336% 15 May 2043

 

1,110,000

 

 

 

1,278,714

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C27 A3

 

5.765% 15 Jul 2045

 

2,060,000

 

 

 

2,344,296

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C28 A4

 

5.572% 15 Oct 2048

 

1,180,000

 

 

 

1,353,538

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C29 A4

 

5.308% 15 Nov 2048

 

4,000,000

 

 

 

4,599,740

 

 

 

WAL MART STORES INC SR UNSECURED

 

5.8% 15 Feb 2018

 

1,695,000

 

 

 

2,076,453

 

 

 

WAL MART STORES INC SR UNSECURED

 

5.375% 05 Apr 2017

 

1,525,000

 

 

 

1,805,345

 

 

 

WAL MART STORES INC SR UNSECURED

 

3.625% 08 Jul 2020

 

760,000

 

 

 

844,865

 

 

 

WALT DISNEY COMPANY/THE SR UNSECURED

 

2.75% 16 Aug 2021

 

795,000

 

 

 

830,040

 

 

 

WALT DISNEY COMPANY/THE SR UNSECURED

 

1.1% 01 Dec 2017

 

440,000

 

 

 

440,923

 

 

 

WEATHERFORD BERMUDA COMPANY GUAR

 

6% 15 Mar 2018

 

250,000

 

 

 

285,642

 

 

 

WEATHERFORD BERMUDA COMPANY GUAR

 

9.625% 01 Mar 2019

 

810,000

 

 

 

1,056,754

 

 

 

WELLPOINT INC SR UNSECURED

 

3.125% 15 May 2022

 

360,000

 

 

 

363,760

 

 

 

WELLPOINT INC SR UNSECURED

 

4.35% 15 Aug 2020

 

315,000

 

 

 

347,682

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

5.625% 11 Dec 2017

 

3,900,000

 

 

 

4,651,546

 

 

 

WESTPAC BANKING CORP SR UNSECURED

 

3% 04 Aug 2015

 

165,000

 

 

 

174,268

 

 

 

WYETH LLC COMPANY GUAR

 

5.45% 01 Apr 2017

 

1,790,000

 

 

 

2,114,776

 

 

 

XEROX CORPORATION SR UNSECURED

 

2.95% 15 Mar 2017

 

555,000

 

 

 

569,443

 

 

 

XTO ENERGY INC SR UNSECURED

 

5.3% 30 Jun 2015

 

370,000

 

 

 

412,492

 

 

 

XTO ENERGY INC SR UNSECURED

 

5.5% 15 Jun 2018

 

1,180,000

 

 

 

1,448,580

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5739 10 of 15

 

 

 

 

 

$

1,594,082,879

 

 

162



Table of Contents

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

PRUDENTIAL INVESTMENT CORP

 

PRU INVEST CORP

 

7,693

 

 

 

$

216,338,840

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5740 11 of 15

 

 

 

 

 

$

216,338,840

 

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

US SAVINGS BONDS SERIES I

 

SERIES I 10/2011

 

16,000,000

 

 

 

$

416,960,000

 

 

 

US SAVINGS BONDS SERIES I

 

SERIES I 04/2012

 

6,000,000

 

 

 

152,820,000

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

65,449

 

 

 

65,449

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5741 12 of 15

 

 

 

 

 

$

569,845,449

 

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

GREAT WEST GUARANTEED PORFOLIO FUND

 

1% 30 Jun 2013

 

73,416

 

 

 

$

73,416

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5742 13 of 15

 

 

 

 

 

$

73,416

 

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

ABB FINANCE USA INC COMPANY GUAR

 

2.875% 08 May 2022

 

750,000

 

 

 

$

767,881

 

 

 

ABBVIE INC COMPANY GUAR 144A

 

1.75% 06 Nov 2017

 

2,000,000

 

 

 

2,021,754

 

 

 

ACTAVIS INC SR UNSECURED

 

3.25% 01 Oct 2022

 

650,000

 

 

 

663,551

 

 

 

AETNA INC SR UNSECURED

 

6% 15 Jun 2016

 

350,000

 

 

 

406,144

 

 

 

ALCOA INC SR UNSECURED

 

5.55% 01 Feb 2017

 

500,000

 

 

 

541,270

 

 

 

AMERICA MOVIL SAB DE CV SR UNSECURED

 

3.125% 16 Jul 2022

 

875,000

 

 

 

889,392

 

 

 

AMERICAN ELECTRIC POWER SR UNSECURED

 

1.65% 15 Dec 2017

 

750,000

 

 

 

752,628

 

 

 

AMERICAN EXPRESS BK FSB SR UNSECURED

 

6% 13 Sep 2017

 

500,000

 

 

 

603,479

 

 

 

AMERICAN HONDA FINANCE SR UNSECURED 144A

 

2.6% 20 Sep 2016

 

500,000

 

 

 

524,119

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

6.375% 15 Sep 2017

 

750,000

 

 

 

895,871

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

5.375% 15 Jan 2020

 

750,000

 

 

 

912,776

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

1.375% 15 Jul 2017

 

200,000

 

 

 

202,106

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

2.5% 15 Jul 2022

 

1,250,000

 

 

 

1,257,825

 

 

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR

 

5.375% 15 Nov 2014

 

1,586,000

 

 

 

1,721,671

 

 

 

AON CORP COMPANY GUAR

 

3.5% 30 Sep 2015

 

350,000

 

 

 

368,622

 

 

 

ARCELORMITTAL SR UNSECURED

 

4.25% 25 Feb 2015

 

375,000

 

 

 

378,773

 

 

 

ARCELORMITTAL SR UNSECURED

 

4% 05 Aug 2015

 

100,000

 

 

 

101,007

 

 

 

AT+T INC SR UNSECURED

 

2.95% 15 May 2016

 

1,750,000

 

 

 

1,852,764

 

 

 

AT+T INC SR UNSECURED

 

2.625% 01 Dec 2022

 

775,000

 

 

 

776,275

 

 

 

BAE SYSTEMS HOLDINGS INC COMPANY GUAR 144A

 

4.95% 01 Jun 2014

 

725,000

 

 

 

761,549

 

 

 

BAKER HUGHES INC SR UNSECURED

 

7.5% 15 Nov 2018

 

100,000

 

 

 

132,475

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2007 1 A4

 

5.451% 15 Jan 2049

 

2,465,000

 

 

 

2,851,818

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

3.875% 22 Mar 2017

 

1,250,000

 

 

 

1,355,651

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

4.5% 01 Apr 2015

 

2,250,000

 

 

 

2,398,334

 

 

 

BANK OF AMERICA CORP SR UNSECURED

 

3.7% 01 Sep 2015

 

1,750,000

 

 

 

1,849,993

 

 

 

BANK OF MONTREAL COVERED 144A

 

1.95% 30 Jan 2018

 

650,000

 

 

 

677,040

 

 

 

BANK OF NEW YORK MELLON SR UNSECURED

 

2.95% 18 Jun 2015

 

503,000

 

 

 

530,523

 

 

 

BANK OF NOVA SCOTIA COVERED 144A

 

1.95% 30 Jan 2017

 

500,000

 

 

 

520,800

 

 

 

BARRICK GOLD FINANCE CO COMPANY GUAR

 

4.875% 15 Nov 2014

 

200,000

 

 

 

213,329

 

 

 

BB+T CORPORATION SR UNSECURED

 

1.45% 12 Jan 2018

 

800,000

 

 

 

803,574

 

 

 

BEAR STEARNS COMMERCIAL MORTGA BSCMS 2007 PW16 A4

 

1% 11 Jun 2040

 

2,527,000

 

 

 

2,993,330

 

 

 

BECTON DICKINSON SR UNSECURED

 

3.125% 08 Nov 2021

 

125,000

 

 

 

133,562

 

 

 

BERKSHIRE HATHAWAY INC SR UNSECURED

 

1.9% 31 Jan 2017

 

200,000

 

 

 

206,744

 

 

 

BHP BILLITON FIN USA LTD COMPANY GUAR

 

1.625% 24 Feb 2017

 

500,000

 

 

 

511,293

 

 

 

BHP BILLITON FIN USA LTD COMPANY GUAR

 

1.875% 21 Nov 2016

 

1,175,000

 

 

 

1,211,514

 

 

163



Table of Contents

 

 

 

BNP PARIBAS SR UNSECURED

 

2.375% 14 Sep 2017

 

575,000

 

 

 

583,250

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

4.5% 01 Oct 2020

 

1,250,000

 

 

 

1,440,576

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

1.375% 06 Nov 2017

 

750,000

 

 

 

750,662

 

 

 

BURLINGTN NORTH SANTA FE SR UNSECURED

 

4.1% 01 Jun 2021

 

108,000

 

 

 

120,460

 

 

 

CAMERON INTL CORP SR UNSECURED

 

1.6% 30 Apr 2015

 

125,000

 

 

 

126,283

 

 

 

CANADIAN NATL RAILWAY SR UNSECURED

 

1.45% 15 Dec 2016

 

350,000

 

 

 

356,139

 

 

 

CANADIAN NATL RESOURCES SR UNSECURED

 

1.45% 14 Nov 2014

 

700,000

 

 

 

709,951

 

 

 

CAPITAL ONE FINANCIAL CO SR UNSECURED

 

2.15% 23 Mar 2015

 

1,004,000

 

 

 

1,024,824

 

 

 

CAPITAL ONE FINANCIAL CO SR UNSECURED

 

1% 06 Nov 2015

 

1,350,000

 

 

 

1,345,440

 

 

 

CARDINAL HEALTH INC SR UNSECURED

 

5.5% 15 Jun 2013

 

750,000

 

 

 

765,623

 

 

 

CARDINAL HEALTH INC SR UNSECURED

 

1.9% 15 Jun 2017

 

650,000

 

 

 

662,108

 

 

 

CATERPILLAR INC SR UNSECURED

 

3.9% 27 May 2021

 

400,000

 

 

 

448,756

 

 

 

CELLCO PART/VERI WIRELSS SR UNSECURED

 

5.55% 01 Feb 2014

 

1,500,000

 

 

 

1,574,616

 

 

 

CIGNA CORP SR UNSECURED

 

5.125% 15 Jun 2020

 

600,000

 

 

 

684,718

 

 

 

CITIGROUP COMMERCIAL MORTGAGE CGCMT 2006 C5 A4

 

5.431% 15 Oct 2049

 

1,300,000

 

 

 

1,491,742

 

 

 

CITIGROUP INC NOTES

 

5.5% 15 Oct 2014

 

2,000,000

 

 

 

2,145,682

 

 

 

CITIGROUP INC SR UNSECURED

 

5.375% 09 Aug 2020

 

1,450,000

 

 

 

1,708,750

 

 

 

CITIGROUP INC SR UNSECURED

 

6% 13 Dec 2013

 

1,100,000

 

 

 

1,152,649

 

 

 

CNH EQUIPMENT TRUST CNH 2012 C A3

 

0.57% 15 Dec 2017

 

1,400,000

 

 

 

1,400,221

 

 

 

COCA COLA ENTERPRISES SR UNSECURED

 

2.125% 15 Sep 2015

 

400,000

 

 

 

413,028

 

 

 

COMMONWEALTH BANK AUST SR UNSECURED 144A

 

3.75% 15 Oct 2014

 

425,000

 

 

 

446,803

 

 

 

COMMONWEALTH BK AUSTR NY SR UNSECURED

 

1.95% 16 Mar 2015

 

1,150,000

 

 

 

1,180,062

 

 

 

CONOCOPHILLIPS COMPANY GUAR

 

5.75% 01 Feb 2019

 

700,000

 

 

 

860,945

 

 

 

CONS EDISON CO OF NY SR UNSECURED

 

5.375% 15 Dec 2015

 

300,000

 

 

 

338,048

 

 

 

CONSUMERS ENERGY CO 1ST MORTGAGE

 

2.85% 15 May 2022

 

150,000

 

 

 

155,043

 

 

 

COSTCO WHOLESALE CORP SR UNSECURED

 

1.7% 15 Dec 2019

 

1,000,000

 

 

 

1,006,810

 

 

 

COX COMMUNICATIONS INC SR UNSECURED

 

5.45% 15 Dec 2014

 

416,000

 

 

 

453,683

 

 

 

COX COMMUNICATIONS INC SR UNSECURED 144A

 

3.25% 15 Dec 2022

 

400,000

 

 

 

412,503

 

 

 

CR BARD INC SR UNSECURED

 

1.375% 15 Jan 2018

 

500,000

 

 

 

502,641

 

 

 

CREDIT SUISSE NEW YORK SR UNSECURED

 

3.5% 23 Mar 2015

 

800,000

 

 

 

843,638

 

 

 

CREDIT SUISSE USA INC BANK GUARANT

 

5.125% 15 Aug 2015

 

750,000

 

 

 

832,356

 

 

 

CSX CORP SR UNSECURED

 

6.25% 01 Apr 2015

 

300,000

 

 

 

335,928

 

 

 

DAIMLER FINANCE NA LLC COMPANY GUAR 144A

 

1.3% 31 Jul 2015

 

650,000

 

 

 

653,773

 

 

 

DAIMLER FINANCE NA LLC COMPANY GUAR 144A

 

3.875% 15 Sep 2021

 

750,000

 

 

 

809,081

 

 

 

DEERE + COMPANY SR UNSECURED

 

2.6% 08 Jun 2022

 

750,000

 

 

 

759,451

 

 

 

DEUTSCHE TELEKOM INT FIN COMPANY GUAR

 

4.875% 08 Jul 2014

 

500,000

 

 

 

529,030

 

 

 

DEUTSCHE TELEKOM INT FIN COMPANY GUAR 144A

 

2.25% 06 Mar 2017

 

150,000

 

 

 

153,823

 

 

 

DIAGEO CAPITAL PLC COMPANY GUAR

 

4.828% 15 Jul 2020

 

330,000

 

 

 

388,497

 

 

 

DIAGEO CAPITAL PLC COMPANY GUAR

 

5.75% 23 Oct 2017

 

250,000

 

 

 

301,192

 

 

 

DIRECTV HOLDINGS/FING COMPANY GUAR

 

3.5% 01 Mar 2016

 

250,000

 

 

 

264,852

 

 

 

DISCOVER CARD MASTER TRUST I DCENT 2012 A1 A1

 

0.81% 15 Aug 2017

 

343,000

 

 

 

345,587

 

 

 

DISCOVERY COMMUNICATIONS COMPANY GUAR

 

3.7% 01 Jun 2015

 

500,000

 

 

 

532,684

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

5.7% 15 May 2018

 

300,000

 

 

 

356,782

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

3% 15 Nov 2022

 

1,300,000

 

 

 

1,297,106

 

 

 

DUKE ENERGY CAROLINAS 1ST REF MORT

 

5.25% 15 Jan 2018

 

790,000

 

 

 

943,002

 

 

 

DUKE ENERGY CORP SR UNSECURED

 

1.625% 15 Aug 2017

 

725,000

 

 

 

726,894

 

 

 

EASTMAN CHEMICAL CO SR UNSECURED

 

2.4% 01 Jun 2017

 

500,000

 

 

 

516,622

 

 

 

EATON CORP COMPANY GUAR 144A

 

1.5% 02 Nov 2017

 

800,000

 

 

 

801,634

 

 

 

ECOLAB INC SR UNSECURED

 

1.45% 08 Dec 2017

 

1,400,000

 

 

 

1,393,640

 

 

 

EMERSON ELECTRIC CO SR UNSECURED

 

4.125% 15 Apr 2015

 

1,000,000

 

 

 

1,077,890

 

 

 

ENERGY TRANSFER PARTNERS SR UNSECURED

 

5.2% 01 Feb 2022

 

950,000

 

 

 

1,083,676

 

 

 

ENTERGY LOUISIANA LLC 1ST MORTGAGE

 

3.3% 01 Dec 2022

 

300,000

 

 

 

300,348

 

 

 

ENTERGY MISSISSIPPI INC 1ST MORTGAGE

 

3.1% 01 Jul 2023

 

200,000

 

 

 

197,415

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

1.25% 13 Aug 2015

 

250,000

 

 

 

251,535

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

5.6% 15 Oct 2014

 

1,000,000

 

 

 

1,082,556

 

 

 

EXPRESS SCRIPTS HOLDING COMPANY GUAR 144A

 

2.1% 12 Feb 2015

 

1,250,000

 

 

 

1,273,319

 

 

 

FANNIE MAE NOTES

 

1.25% 30 Jan 2017

 

3,500,000

 

 

 

3,588,081

 

 

 

FANNIE MAE NOTES

 

1.25% 27 Feb 2014

 

2,200,000

 

 

 

2,229,341

 

 

 

FANNIE MAE NOTES

 

0.375% 16 Mar 2015

 

4,300,000

 

 

 

4,305,715

 

 

 

FANNIE MAE NOTES

 

0.5% 22 Oct 2015

 

750,000

 

 

 

750,954

 

 

 

FANNIE MAE NOTES

 

1.375% 15 Nov 2016

 

2,100,000

 

 

 

2,163,399

 

 

 

FANNIE MAE NOTES 12/14 0.75

 

0.75% 19 Dec 2014

 

2,000,000

 

 

 

2,017,744

 

 

 

FED HM LN PC POOL 2B0062

 

2.453% 01 Dec 2041

 

524,350

 

 

 

547,026

 

 

 

FED HM LN PC POOL A32438

 

4.5% 01 Apr 2035

 

3,646,871

 

 

 

3,920,265

 

 

 

FED HM LN PC POOL A71410

 

6% 01 Jan 2038

 

2,550,354

 

 

 

2,775,418

 

 

 

FED HM LN PC POOL A75437

 

5.5% 01 Mar 2038

 

727,315

 

 

 

785,248

 

 

 

FED HM LN PC POOL C91161

 

5% 01 Feb 2028

 

2,583,712

 

 

 

2,782,187

 

 

 

FED HM LN PC POOL D99066

 

3.5% 01 Apr 2032

 

1,584,422

 

 

 

1,693,603

 

 

 

FED HM LN PC POOL G04576

 

6% 01 Sep 2038

 

1,265,660

 

 

 

1,377,352

 

 

 

FED HM LN PC POOL G04913

 

5% 01 Mar 2038

 

2,764,435

 

 

 

2,977,291

 

 

 

FED HM LN PC POOL G05671

 

5.5% 01 Aug 2038

 

2,056,329

 

 

 

2,225,266

 

 

 

FED HM LN PC POOL G06385

 

5.5% 01 Aug 2040

 

1,316,978

 

 

 

1,422,704

 

 

 

FED HM LN PC POOL G08447

 

4.5% 01 May 2041

 

3,785,474

 

 

 

4,084,638

 

 

 

FED HM LN PC POOL G08487

 

4% 01 Apr 2042

 

2,587,881

 

 

 

2,766,754

 

 

 

FED HM LN PC POOL G13531

 

5% 01 Dec 2017

 

488,272

 

 

 

523,186

 

 

 

FED HM LN PC POOL G30584

 

3.5% 01 Apr 2032

 

2,067,882

 

 

 

2,210,377

 

 

 

FED HM LN PC POOL J11562

 

4.5% 01 Jan 2025

 

688,104

 

 

 

732,147

 

 

 

FED HM LN PC POOL J12679

 

4% 01 Aug 2025

 

956,090

 

 

 

1,010,787

 

 

 

FED HM LN PC POOL J13585

 

3.5% 01 Nov 2025

 

758,094

 

 

 

797,199

 

 

 

FED HM LN PC POOL J15432

 

3.5% 01 May 2026

 

774,023

 

 

 

813,949

 

 

164



Table of Contents

 

 

 

FHLMC GOLD TBA 30 YR

 

4% 01 Dec 2099

 

3,400,000

 

 

 

3,629,500

 

 

 

FHLMC TBA JAN 15 GOLD SINGLE

 

3% 01 Dec 2099

 

2,600,000

 

 

 

2,730,000

 

 

 

FHLMC TBA JAN 30 GOLD SINGLE

 

3.5% 01 Dec 2099

 

8,400,000

 

 

 

8,932,219

 

 

 

FNMA TBA FEB 30 SINGLE FAM

 

3.5% 01 Dec 2099

 

1,000,000

 

 

 

1,064,258

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

4.5% 01 Dec 2099

 

500,000

 

 

 

540,098

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

5% 01 Dec 2099

 

500,000

 

 

 

541,563

 

 

 

FNMA CONV 15YR TBA

 

2.5% 01 Dec 2099

 

1,000,000

 

 

 

1,045,625

 

 

 

FNMA POOL 254545

 

5% 01 Dec 2017

 

1,472,554

 

 

 

1,600,283

 

 

 

FNMA POOL 735402

 

5% 01 Apr 2035

 

3,998,295

 

 

 

4,363,962

 

 

 

FNMA POOL 735893

 

5% 01 Oct 2035

 

3,651,898

 

 

 

3,974,656

 

 

 

FNMA POOL 972509

 

6% 01 Feb 2038

 

737,616

 

 

 

805,936

 

 

 

FNMA POOL 985612

 

5.5% 01 May 2033

 

2,644,278

 

 

 

2,906,140

 

 

 

FNMA POOL 995692

 

4.5% 01 May 2024

 

124,058

 

 

 

133,520

 

 

 

FNMA POOL 995763

 

4.5% 01 Nov 2035

 

773,232

 

 

 

837,943

 

 

 

FNMA POOL 995865

 

4.5% 01 Jul 2024

 

648,012

 

 

 

697,436

 

 

 

FNMA POOL 995937

 

5.5% 01 Jun 2039

 

3,541,917

 

 

 

3,852,824

 

 

 

FNMA POOL AA4333

 

4.5% 01 Apr 2029

 

463,554

 

 

 

502,204

 

 

 

FNMA POOL AB1019

 

4.5% 01 May 2040

 

1,733,082

 

 

 

1,912,102

 

 

 

FNMA POOL AB1786

 

4% 01 Nov 2025

 

1,099,320

 

 

 

1,177,498

 

 

 

FNMA POOL AB3907

 

3.5% 01 Nov 2026

 

1,775,028

 

 

 

1,884,063

 

 

 

FNMA POOL AD0119

 

6% 01 Jul 2038

 

2,445,271

 

 

 

2,675,649

 

 

 

FNMA POOL AD0798

 

6% 01 Jan 2039

 

1,091,859

 

 

 

1,194,726

 

 

 

FNMA POOL AE0443

 

6.5% 01 Oct 2039

 

1,168,693

 

 

 

1,312,077

 

 

 

FNMA POOL AE0982

 

4.5% 01 Mar 2026

 

1,317,923

 

 

 

1,418,442

 

 

 

FNMA POOL AH1416

 

3.5% 01 Jan 2026

 

431,392

 

 

 

457,891

 

 

 

FNMA POOL AH3520

 

4% 01 Feb 2041

 

432,450

 

 

 

464,044

 

 

 

FNMA POOL AH6827

 

4% 01 Mar 2026

 

2,419,660

 

 

 

2,592,489

 

 

 

FNMA POOL AI1821

 

4.5% 01 May 2041

 

4,605,571

 

 

 

4,927,683

 

 

 

FNMA POOL AI2124

 

4.5% 01 May 2041

 

2,881,092

 

 

 

3,127,612

 

 

 

FNMA POOL AI5085

 

3.5% 01 Aug 2026

 

347,536

 

 

 

368,884

 

 

 

FNMA POOL AJ2452

 

2.704% 01 Jan 2042

 

1,389,296

 

 

 

1,455,960

 

 

 

FNMA POOL AJ5160

 

4% 01 Nov 2041

 

3,827,421

 

 

 

4,107,047

 

 

 

FNMA POOL AL0058

 

5% 01 Jan 2018

 

894,288

 

 

 

971,859

 

 

 

FNMA POOL AL0675

 

5.5% 01 Sep 2041

 

619,585

 

 

 

673,294

 

 

 

FNMA POOL AL0851

 

6% 01 Oct 2040

 

640,628

 

 

 

701,367

 

 

 

FNMA POOL AO5096

 

2.265% 01 Jun 2042

 

464,304

 

 

 

483,086

 

 

 

FNMA POOL AO7530

 

2.522% 01 Jul 2042

 

1,581,742

 

 

 

1,655,684

 

 

 

FNMA POOL AO8796

 

2.249% 01 Jul 2042

 

941,508

 

 

 

979,584

 

 

 

FNMA POOL MA0976

 

3.5% 01 Feb 2032

 

424,334

 

 

 

453,690

 

 

 

FNMA POOL MA0977

 

4% 01 Feb 2032

 

889,478

 

 

 

957,520

 

 

 

FNMA TBA 15 YR

 

3% 01 Dec 2099

 

5,000,000

 

 

 

5,277,344

 

 

 

FNMA TBA 30YR SINGLE FAMILY JA

 

3.5% 01 Dec 2099

 

15,800,000

 

 

 

16,844,898

 

 

 

FNMA TBA 3PCT JAN 30 SINGLE FA

 

3% 01 Dec 2099

 

4,100,000

 

 

 

4,296,031

 

 

 

FNMA TBA MAR

 

3% 01 Dec 2099

 

2,200,000

 

 

 

2,300,375

 

 

 

FNMA TBA SINGLE FAMILY MORTGAG

 

4% 01 Dec 2099

 

5,500,000

 

 

 

5,895,313

 

 

 

FORD CREDIT AUTO LEASE TRUST FORDL 2012 B A3

 

0.86% 15 Sep 2015

 

2,000,000

 

 

 

2,001,882

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

3% 12 Jun 2017

 

700,000

 

 

 

719,198

 

 

 

FORD MOTOR CREDIT CO LLC SR UNSECURED

 

4.25% 20 Sep 2022

 

500,000

 

 

 

528,693

 

 

 

FOSSE MASTER ISSUER PLC FOSSM 2011 1A A5 144A

 

1.96565% 18 Oct 2054

 

385,000

 

 

 

397,166

 

 

 

FREDDIE MAC NOTES

 

0.75% 12 Jan 2018

 

3,200,000

 

 

 

3,178,326

 

 

 

FREDDIE MAC NOTES

 

0.55% 27 Feb 2015

 

1,600,000

 

 

 

1,601,106

 

 

 

FREDDIE MAC NOTES

 

0.5% 17 Apr 2015

 

4,200,000

 

 

 

4,217,165

 

 

 

FREDDIE MAC NOTES

 

0.6% 22 May 2015

 

650,000

 

 

 

650,980

 

 

 

FREDDIE MAC NOTES

 

1.25% 01 Aug 2019

 

1,000,000

 

 

 

1,001,384

 

 

 

FREDDIE MAC NOTES

 

0.5% 25 Sep 2015

 

600,000

 

 

 

600,421

 

 

 

FREDDIE MAC NOTES

 

1.75% 10 Sep 2015

 

4,200,000

 

 

 

4,353,875

 

 

 

FREDDIE MAC NOTES

 

1% 27 Sep 2017

 

650,000

 

 

 

652,105

 

 

 

FREDDIE MAC NOTES

 

0.5% 09 Oct 2015

 

600,000

 

 

 

600,931

 

 

 

FREDDIE MAC NOTES

 

0.53% 20 Nov 2015

 

1,000,000

 

 

 

1,001,221

 

 

 

GDF SUEZ SR UNSECURED 144A

 

1.625% 10 Oct 2017

 

575,000

 

 

 

574,864

 

 

 

GENERAL DYNAMICS CORP COMPANY GUAR

 

3.875% 15 Jul 2021

 

150,000

 

 

 

168,259

 

 

 

GENERAL DYNAMICS CORP COMPANY GUAR

 

2.25% 15 Nov 2022

 

1,150,000

 

 

 

1,125,373

 

 

 

GENERAL ELEC CAP CORP SR SECURED

 

2.1% 11 Dec 2019

 

600,000

 

 

 

601,696

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

4.65% 17 Oct 2021

 

1,375,000

 

 

 

1,568,925

 

 

 

GENERAL ELECTRIC CO SR UNSECURED

 

2.7% 09 Oct 2022

 

650,000

 

 

 

662,550

 

 

 

GENERAL MILLS INC SR UNSECURED

 

5.2% 17 Mar 2015

 

400,000

 

 

 

439,313

 

 

 

GENERAL MILLS INC SR UNSECURED

 

3.15% 15 Dec 2021

 

350,000

 

 

 

365,851

 

 

 

GEORGIA POWER COMPANY SR UNSECURED

 

5.4% 01 Jun 2018

 

250,000

 

 

 

301,268

 

 

 

GNMA I TBA JAN 30 SINGLE FAM

 

3.5% 01 Dec 2099

 

4,900,000

 

 

 

5,323,008

 

 

 

GNMA II JUMBOS 30 YRS

 

3.5% 01 Dec 2099

 

4,200,000

 

 

 

4,563,234

 

 

 

GNMA II POOL 004715

 

5% 20 Jun 2040

 

1,903,610

 

 

 

2,102,399

 

 

 

GNMA II POOL 004804

 

6% 20 Sep 2040

 

415,439

 

 

 

465,979

 

 

 

GNMA II POOL 005056

 

5% 20 May 2041

 

1,802,097

 

 

 

1,991,394

 

 

 

GNMA II POOL 005057

 

5.5% 20 May 2041

 

729,386

 

 

 

800,532

 

 

 

GNMA II POOL 005175

 

4.5% 20 Sep 2041

 

2,648,584

 

 

 

2,921,832

 

 

 

GNMA II POOL 005280

 

4% 20 Jan 2042

 

2,348,716

 

 

 

2,558,933

 

 

 

GNMA II POOL 005281

 

4.5% 20 Jan 2042

 

2,765,108

 

 

 

3,027,925

 

 

 

GNMA II POOL 005305

 

4% 20 Feb 2042

 

1,968,808

 

 

 

2,145,022

 

 

 

GNMA II TBA FEB 30YR JUMBOS

 

3% 01 Dec 2099

 

1,300,000

 

 

 

1,379,219

 

 

 

GNMA POOL 487698

 

4.5% 15 Mar 2039

 

794,134

 

 

 

873,085

 

 

165



Table of Contents

 

 

 

GNMA POOL 487824

 

4.5% 15 Apr 2039

 

658,259

 

 

 

723,702

 

 

 

GNMA POOL 616540

 

6% 15 Jul 2034

 

1,444,733

 

 

 

1,619,588

 

 

 

GNMA POOL 658499

 

6% 15 Jul 2037

 

635,359

 

 

 

709,278

 

 

 

GNMA POOL 676859

 

5% 15 May 2038

 

1,152,263

 

 

 

1,257,096

 

 

 

GNMA POOL 677101

 

5.5% 15 Jul 2038

 

527,932

 

 

 

579,345

 

 

 

GNMA POOL 697974

 

5% 15 Jun 2040

 

1,575,077

 

 

 

1,732,652

 

 

 

GNMA POOL 698097

 

4.5% 15 Apr 2039

 

2,489,184

 

 

 

2,736,653

 

 

 

GNMA POOL 702785

 

5.5% 15 Jan 2039

 

643,303

 

 

 

705,952

 

 

 

GNMA POOL 738882

 

4% 15 Oct 2041

 

1,249,503

 

 

 

1,371,596

 

 

 

GNMA POOL 738904

 

4% 15 Oct 2041

 

1,046,514

 

 

 

1,148,772

 

 

 

GNMA POOL 782934

 

5.5% 15 Feb 2040

 

606,247

 

 

 

665,287

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

3.625% 07 Feb 2016

 

2,500,000

 

 

 

2,646,308

 

 

 

HESS CORP SR UNSECURED

 

7% 15 Feb 2014

 

300,000

 

 

 

320,804

 

 

 

HEWLETT PACKARD CO SR UNSECURED

 

2.35% 15 Mar 2015

 

2,500,000

 

 

 

2,511,133

 

 

 

HEWLETT PACKARD CO SR UNSECURED

 

3.3% 09 Dec 2016

 

1,000,000

 

 

 

1,017,889

 

 

 

HOLMES MASTER ISSUER PLC HMI 2012 1A A2 144A

 

1% 15 Oct 2054

 

630,000

 

 

 

645,010

 

 

 

HONDA AUTO RECEIVABLES OWNER T HAROT 2012 1 A3

 

0.77% 15 Jan 2016

 

1,000,000

 

 

 

1,004,717

 

 

 

HONEYWELL INTERNATIONAL SR UNSECURED

 

5.3% 01 Mar 2018

 

500,000

 

 

 

597,692

 

 

 

HSBC BANK PLC SENIOR NOTES 144A

 

3.5% 28 Jun 2015

 

750,000

 

 

 

795,526

 

 

 

HSBC BANK PLC SR UNSECURED 144A

 

3.1% 24 May 2016

 

1,250,000

 

 

 

1,321,588

 

 

 

HSBC BANK USA NA SUB NOTES

 

4.875% 24 Aug 2020

 

500,000

 

 

 

557,219

 

 

 

HSBC FINANCE CORP SR UNSECURED

 

5% 30 Jun 2015

 

1,000,000

 

 

 

1,083,978

 

 

 

HSBC USA INC SR UNSECURED

 

1.625% 16 Jan 2018

 

500,000

 

 

 

500,454

 

 

 

HUNTINGTON AUTO TRUST HUNT 2012 2 A3

 

0.61% 17 Apr 2017

 

1,600,000

 

 

 

1,599,402

 

 

 

HYDRO QUEBEC LOCAL GOVT G

 

2% 30 Jun 2016

 

1,000,000

 

 

 

1,042,000

 

 

 

HYUNDAI AUTO RECEIVABLES TRUST HART 2012 A A3

 

1.06% 15 Mar 2016

 

625,000

 

 

 

627,167

 

 

 

INGERSOLL RAND GL HLD CO COMPANY GUAR

 

6% 15 Aug 2013

 

650,000

 

 

 

671,728

 

 

 

INGREDION INC SR UNSECURED

 

1.8% 25 Sep 2017

 

425,000

 

 

 

422,205

 

 

 

INTL PAPER CO SR UNSECURED

 

4.75% 15 Feb 2022

 

600,000

 

 

 

678,922

 

 

 

JOHN DEERE CAPITAL CORP SENIOR NOTES

 

1.7% 15 Jan 2020

 

650,000

 

 

 

643,343

 

 

 

JOHN DEERE CAPITAL CORP SR UNSECURED

 

5.75% 10 Sep 2018

 

200,000

 

 

 

243,889

 

 

 

JOHN DEERE OWNER TRUST JDOT 2012 A A3

 

1% 15 Mar 2016

 

1,000,000

 

 

 

1,003,444

 

 

 

JOHN DEERE OWNER TRUST JDOT 2012 B A3

 

0.53% 15 Jul 2016

 

1,800,000

 

 

 

1,801,312

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 CB17 A4

 

5.429% 12 Dec 2043

 

2,220,000

 

 

 

2,533,415

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

3.15% 05 Jul 2016

 

1,250,000

 

 

 

1,324,313

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

4.4% 22 Jul 2020

 

1,100,000

 

 

 

1,241,728

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

2% 15 Aug 2017

 

750,000

 

 

 

766,122

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

3.25% 23 Sep 2022

 

1,550,000

 

 

 

1,596,161

 

 

 

KELLOGG CO SR UNSECURED

 

1.75% 17 May 2017

 

475,000

 

 

 

482,713

 

 

 

KEYCORP SR UNSECURED

 

5.1% 24 Mar 2021

 

500,000

 

 

 

582,505

 

 

 

KOREA DEVELOPMENT BANK SR UNSECURED

 

3.875% 04 May 2017

 

250,000

 

 

 

270,280

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

6.125% 23 Aug 2018

 

850,000

 

 

 

1,041,356

 

 

 

KROGER CO/THE COMPANY GUAR

 

7.5% 15 Jan 2014

 

1,000,000

 

 

 

1,069,660

 

 

 

LAB CORP OF AMER HLDGS SR UNSECURED

 

2.2% 23 Aug 2017

 

350,000

 

 

 

359,255

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C7 A3

 

5.347% 15 Nov 2038

 

2,149,000

 

 

 

2,469,534

 

 

 

MARATHON OIL CORP SR UNSECURED

 

99.988% 01 Nov 2015

 

1,900,000

 

 

 

1,901,531

 

 

 

MARATHON PETROLEUM CORP SR UNSECURED

 

3.5% 01 Mar 2016

 

450,000

 

 

 

479,029

 

 

 

MASSMUTUAL GLOBAL FUNDIN SECURED 144A

 

2.5% 17 Oct 2022

 

550,000

 

 

 

540,768

 

 

 

MERCEDES BENZ AUTO RECEIVABLES MBART 2012 1 A3

 

0.47% 17 Oct 2016

 

1,900,000

 

 

 

1,899,270

 

 

 

MERCK + CO INC SR UNSECURED

 

2.4% 15 Sep 2022

 

750,000

 

 

 

750,245

 

 

 

MET LIFE GLOB FUNDING I SR SECURED 144A

 

2% 09 Jan 2015

 

450,000

 

 

 

462,142

 

 

 

MET LIFE GLOB FUNDING I SR SECURED 144A

 

2.5% 29 Sep 2015

 

1,050,000

 

 

 

1,095,314

 

 

 

METLIFE INC SR UNSECURED

 

1.756% 15 Dec 2017

 

600,000

 

 

 

609,446

 

 

 

MIDAMERICAN ENERGY CO SR UNSECURED

 

5.95% 15 Jul 2017

 

102,000

 

 

 

122,485

 

 

 

ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 3 A4

 

1% 12 Jul 2046

 

1,500,000

 

 

 

1,724,666

 

 

 

MONDELEZ INTERNATIONAL SR UNSECURED

 

5.25% 01 Oct 2013

 

500,000

 

 

 

515,900

 

 

 

MORGAN STANLEY CAPITAL I TRUST MSC 2007 T25 A3

 

5.514% 12 Nov 2049

 

1,300,000

 

 

 

1,507,968

 

 

 

MORGAN STANLEY SR UNSECURED

 

5.75% 25 Jan 2021

 

800,000

 

 

 

913,628

 

 

 

NATIONAL BANK OF CANADA COVERED 144A

 

2.2% 19 Oct 2016

 

500,000

 

 

 

526,200

 

 

 

NATIONAL RURAL UTIL COOP COLLATERAL T

 

3.05% 15 Feb 2022

 

250,000

 

 

 

262,268

 

 

 

NATL RETAIL PROPERTIES SR UNSECURED

 

6.25% 15 Jun 2014

 

855,000

 

 

 

913,904

 

 

 

NBCUNIVERSAL MEDIA LLC SR UNSECURED

 

4.375% 01 Apr 2021

 

450,000

 

 

 

505,504

 

 

 

NEVADA POWER CO GENL REF MOR

 

6.5% 01 Aug 2018

 

400,000

 

 

 

502,578

 

 

 

NEWS AMERICA INC COMPANY GUAR

 

8% 17 Oct 2016

 

500,000

 

 

 

616,006

 

 

 

NEWS AMERICA INC COMPANY GUAR

 

5.3% 15 Dec 2014

 

454,000

 

 

 

493,440

 

 

 

NEXTERA ENERGY CAPITAL COMPANY GUAR

 

1.2% 01 Jun 2015

 

500,000

 

 

 

503,557

 

 

 

NIAGARA MOHAWK POWER SR UNSECURED 144A

 

2.721% 28 Nov 2022

 

800,000

 

 

 

795,515

 

 

 

NISOURCE FINANCE CORP COMPANY GUAR

 

6.4% 15 Mar 2018

 

450,000

 

 

 

542,467

 

 

 

NISSAN AUTO RECEIVABLES OWNER NAROT 2012 A A3

 

0.73% 16 May 2016

 

1,000,000

 

 

 

1,005,039

 

 

 

NISSAN AUTO RECEIVABLES OWNER NAROT 2012 B A3

 

0.46% 17 Oct 2016

 

2,000,000

 

 

 

2,001,062

 

 

 

NORDEA BANK AB SR UNSECURED 144A

 

2.25% 20 Mar 2015

 

1,000,000

 

 

 

1,024,336

 

 

 

NORTHROP GRUMMAN CORP SR UNSECURED

 

5.05% 01 Aug 2019

 

850,000

 

 

 

992,145

 

 

 

NORTHROP GRUMMAN CORP SR UNSECURED

 

1.85% 15 Nov 2015

 

250,000

 

 

 

256,698

 

 

 

NOVARTIS CAPITAL CORP COMPANY GUAR

 

4.125% 10 Feb 2014

 

1,000,000

 

 

 

1,040,027

 

 

 

NSTAR ELECTRIC CO SR UNSECURED

 

2.375% 15 Oct 2022

 

750,000

 

 

 

745,379

 

 

 

OCCIDENTAL PETROLEUM COR SR UNSECURED

 

1.75% 15 Feb 2017

 

750,000

 

 

 

769,077

 

 

 

OHIO EDISON SR UNSECURED

 

6.4% 15 Jul 2016

 

372,000

 

 

 

436,379

 

 

 

ONEOK PARTNERS LP COMPANY GUAR

 

2% 01 Oct 2017

 

150,000

 

 

 

151,247

 

 

 

PEPSICO INC SR UNSECURED

 

3.1% 15 Jan 2015

 

200,000

 

 

 

209,911

 

 

 

PEPSICO INC SR UNSECURED

 

3.125% 01 Nov 2020

 

200,000

 

 

 

214,334

 

 

166



Table of Contents

 

 

 

PERMANENT MASTER ISSUER PLC PERMM 2011 2A 1A2 144A

 

1% 15 Jul 2042

 

260,000

 

 

 

265,576

 

 

 

PHILLIPS 66 COMPANY GUAR

 

2.95% 01 May 2017

 

850,000

 

 

 

900,861

 

 

 

PNC FUNDING CORP BANK GUARANT

 

3.625% 08 Feb 2015

 

500,000

 

 

 

529,305

 

 

 

PNC FUNDING CORP BANK GUARANT

 

5.4% 10 Jun 2014

 

750,000

 

 

 

799,931

 

 

 

PPL CAPITAL FUNDING INC COMPANY GUAR

 

3.5% 01 Dec 2022

 

300,000

 

 

 

305,369

 

 

 

PRECISION CASTPARTS CORP SR UNSECURED

 

2.5% 15 Jan 2023

 

825,000

 

 

 

830,287

 

 

 

PRINCIPAL FINANCIAL GROU COMPANY GUAR

 

1.85% 15 Nov 2017

 

375,000

 

 

 

376,984

 

 

 

PROLOGIS LP COMPANY GUAR

 

4.5% 15 Aug 2017

 

100,000

 

 

 

109,050

 

 

 

PROVINCE OF QUEBEC UNSECURED

 

3.5% 29 Jul 2020

 

1,000,000

 

 

 

1,110,700

 

*

 

PRUDENTIAL FINANCIAL INC SR UNSECURED

 

4.5% 16 Nov 2021

 

650,000

 

 

 

731,018

 

 

 

RABOBANK NEDERLAND BANK GUARANT

 

3.375% 19 Jan 2017

 

1,500,000

 

 

 

1,611,429

 

 

 

RABOBANK NEDERLAND BANK GUARANT

 

3.95% 09 Nov 2022

 

1,000,000

 

 

 

1,024,034

 

 

 

REALTY INCOME CORP SR UNSECURED

 

2% 31 Jan 2018

 

850,000

 

 

 

849,294

 

 

 

REED ELSEVIER CAPITAL COMPANY GUAR

 

7.75% 15 Jan 2014

 

300,000

 

 

 

321,247

 

 

 

RIO TINTO FIN USA LTD COMPANY GUAR

 

6.5% 15 Jul 2018

 

1,300,000

 

 

 

1,622,559

 

 

 

RIO TINTO FIN USA PLC COMPANY GUAR

 

1.625% 21 Aug 2017

 

500,000

 

 

 

506,243

 

 

 

ROPER INDUSTRIES INC SR UNSECURED

 

6.625% 15 Aug 2013

 

500,000

 

 

 

517,808

 

 

 

ROYAL BK SCOTLND GRP PLC SR UNSECURED

 

2.55% 18 Sep 2015

 

1,200,000

 

 

 

1,228,092

 

 

 

SABMILLER HOLDINGS INC COMPANY GUAR 144A

 

2.45% 15 Jan 2017

 

900,000

 

 

 

938,156

 

 

 

SAMSUNG ELECTRON AMERICA COMPANY GUAR 144A

 

1.75% 10 Apr 2017

 

975,000

 

 

 

986,457

 

 

 

SANOFI SR UNSECURED

 

2.625% 29 Mar 2016

 

1,250,000

 

 

 

1,315,654

 

 

 

SANOFI SR UNSECURED

 

4% 29 Mar 2021

 

250,000

 

 

 

284,959

 

 

 

SEMPRA ENERGY SR UNSECURED

 

2.3% 01 Apr 2017

 

125,000

 

 

 

129,797

 

 

 

SHELL INTERNATIONAL FIN COMPANY GUAR

 

2.25% 06 Jan 2023

 

1,000,000

 

 

 

987,934

 

 

 

SHELL INTERNATIONAL FIN COMPANY GUAR

 

4% 21 Mar 2014

 

750,000

 

 

 

783,006

 

 

 

SHELL INTERNATIONAL FIN COMPANY GUAR

 

1.125% 21 Aug 2017

 

650,000

 

 

 

653,050

 

 

 

SIMON PROPERTY GROUP LP SR UNSECURED

 

2.75% 01 Feb 2023

 

650,000

 

 

 

649,635

 

 

 

SIMON PROPERTY GROUP LP SR UNSECURED

 

5.25% 01 Dec 2016

 

422,000

 

 

 

482,826

 

 

 

SOCIETE GENERALE BANK GUARANT

 

2.75% 12 Oct 2017

 

850,000

 

 

 

864,639

 

 

 

SPECTRA ENERGY CAPITAL COMPANY GUAR

 

6.2% 15 Apr 2018

 

200,000

 

 

 

243,524

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

63,984,464

 

 

 

63,984,464

 

 

 

STANLEY BLACK + DECKER I COMPANY GUAR

 

3.4% 01 Dec 2021

 

200,000

 

 

 

208,766

 

 

 

STATOIL ASA COMPANY GUAR

 

2.45% 17 Jan 2023

 

450,000

 

 

 

448,946

 

 

 

STATOIL ASA COMPANY GUAR

 

3.125% 17 Aug 2017

 

250,000

 

 

 

272,092

 

 

 

SWEDISH EXPORT CREDIT SR UNSECURED

 

3.25% 16 Sep 2014

 

200,000

 

 

 

209,300

 

 

 

TBA FEDERAL NATL MTG ASSN

 

2.5% 01 Dec 2099

 

1,000,000

 

 

 

1,044,063

 

 

 

TECK RESOURCES LIMITED COMPANY GUAR

 

3.75% 01 Feb 2023

 

1,250,000

 

 

 

1,282,099

 

 

 

TELEFONICA EMISIONES SAU COMPANY GUAR

 

2.582% 26 Apr 2013

 

450,000

 

 

 

451,575

 

 

 

TEVA PHARM FIN IV BV COMPANY GUAR

 

3.65% 10 Nov 2021

 

850,000

 

 

 

909,697

 

 

 

TEVA PHARMACEUT FIN BV COMPANY GUAR

 

3.65% 10 Nov 2021

 

150,000

 

 

 

160,535

 

 

 

TEVA PHARMACEUT FIN BV COMPANY GUAR

 

2.95% 18 Dec 2022

 

1,125,000

 

 

 

1,138,003

 

 

 

TEXAS EASTERN TRANSMISSI SR UNSECURED 144A

 

2.8% 15 Oct 2022

 

900,000

 

 

 

900,290

 

 

 

THERMO FISHER SCIENTIFIC SR UNSECURED

 

1.85% 15 Jan 2018

 

2,000,000

 

 

 

2,027,386

 

 

 

TIME WARNER INC COMPANY GUAR

 

4.7% 15 Jan 2021

 

500,000

 

 

 

569,226

 

 

 

TOTAL CAPITAL SA COMPANY GUAR

 

4.125% 28 Jan 2021

 

750,000

 

 

 

849,825

 

 

 

TOTAL CAPITAL SA COMPANY GUAR

 

3% 24 Jun 2015

 

350,000

 

 

 

369,688

 

 

 

TOYOTA MOTOR CREDIT CORP SR UNSECURED

 

3.3% 12 Jan 2022

 

700,000

 

 

 

755,212

 

 

 

TRAVELERS COS INC SR UNSECURED

 

3.9% 01 Nov 2020

 

150,000

 

 

 

169,439

 

 

 

UNILEVER CAPITAL CORP COMPANY GUAR

 

0.85% 02 Aug 2017

 

500,000

 

 

 

494,962

 

 

 

UNITED TECHNOLOGIES CORP SR UNSECURED

 

1.8% 01 Jun 2017

 

1,100,000

 

 

 

1,132,294

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

2.75% 15 Feb 2023

 

650,000

 

 

 

655,847

 

 

 

US TREASURY N/B

 

0.875% 31 Jul 2019

 

8,885,000

 

 

 

8,775,324

 

 

 

US TREASURY N/B

 

0.25% 30 Sep 2014

 

2,715,000

 

 

 

2,715,635

 

 

 

US TREASURY N/B

 

0.25% 15 Sep 2015

 

12,410,000

 

 

 

12,382,847

 

 

 

US TREASURY N/B

 

0.625% 30 Sep 2017

 

5,075,000

 

 

 

5,065,880

 

 

 

US TREASURY N/B

 

1.875% 30 Sep 2017

 

6,700,000

 

 

 

7,074,785

 

 

 

US TREASURY N/B

 

1.01% 30 Sep 2019

 

4,270,100

 

 

 

4,240,743

 

 

 

US TREASURY N/B

 

0.25% 15 Oct 2015

 

15,035,000

 

 

 

15,000,931

 

 

 

US TREASURY N/B

 

0.75% 31 Oct 2017

 

3,410,000

 

 

 

3,421,188

 

 

 

US TREASURY N/B

 

0.375% 15 Nov 2015

 

10,975,000

 

 

 

10,985,295

 

 

 

US TREASURY N/B

 

0.625% 30 Nov 2017

 

3,885,000

 

 

 

3,871,950

 

 

 

US TREASURY N/B

 

1% 30 Nov 2019

 

2,325,000

 

 

 

2,302,475

 

 

 

US TREASURY N/B

 

0.01% 31 Dec 2014

 

7,000,000

 

 

 

6,982,500

 

 

 

US TREASURY N/B

 

0.25% 15 Dec 2015

 

4,645,000

 

 

 

4,631,209

 

 

 

US TREASURY N/B

 

0.625% 31 Dec 2017

 

5,700,000

 

 

 

5,709,354

 

 

 

US TREASURY N/B

 

1.125% 31 Dec 2019

 

3,000,000

 

 

 

2,988,750

 

 

 

USAA AUTO OWNER TRUST USAOT 2012 1 A3

 

0.43% 15 Aug 2016

 

700,000

 

 

 

699,494

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

2.45% 01 Nov 2022

 

1,150,000

 

 

 

1,150,384

 

 

 

VIRGINIA ELEC + POWER CO SR UNSECURED

 

5.4% 30 Apr 2018

 

1,350,000

 

 

 

1,631,069

 

 

 

VIVENDI SA SR UNSECURED 144A

 

2.4% 10 Apr 2015

 

450,000

 

 

 

458,988

 

 

 

VODAFONE GROUP PLC SR UNSECURED

 

1.25% 26 Sep 2017

 

450,000

 

 

 

448,640

 

 

 

VOLKSWAGEN AUTO LEASE TRUST VWALT 2012 A A3

 

1.16% 20 Jul 2015

 

600,000

 

 

 

603,337

 

 

 

VOLKSWAGEN INTL FIN NV COMPANY GUAR 144A

 

1.15% 20 Nov 2015

 

500,000

 

 

 

500,692

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C29 A4

 

5.308% 15 Nov 2048

 

1,200,000

 

 

 

1,379,922

 

 

 

WASTE MANAGEMENT INC COMPANY GUAR

 

6.375% 11 Mar 2015

 

200,000

 

 

 

223,673

 

 

 

WEA FINANCE/WT FIN AUST COMPANY GUAR 144A

 

5.75% 02 Sep 2015

 

250,000

 

 

 

279,115

 

 

 

WEINGARTEN REALTY INVEST SR UNSECURED

 

4.857% 15 Jan 2014

 

750,000

 

 

 

776,211

 

 

 

WELLPOINT INC SR UNSECURED

 

1.875% 15 Jan 2018

 

700,000

 

 

 

708,693

 

 

 

WELLS FARGO + COMPANY SR UNSECURED

 

4.6% 01 Apr 2021

 

750,000

 

 

 

862,681

 

 

 

WESTERN UNION CO/THE UNSECURED

 

2.875% 10 Dec 2017

 

750,000

 

 

 

743,136

 

 

 

WESTPAC BANKING CORP SR UNSECURED

 

1.125% 25 Sep 2015

 

500,000

 

 

 

504,632

 

 

 

WILLIAMS COMPANIES INC SR UNSECURED

 

3.7% 15 Jan 2023

 

1,200,000

 

 

 

1,210,385

 

 

 

WSTFLD CAP/WT FIN/WEA COMPANY GUAR 144A

 

5.125% 15 Nov 2014

 

500,000

 

 

 

536,102

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5743 14 of 15

 

 

 

 

 

$

572,405,183

 

 

167



Table of Contents

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

/XX/NA GNSF TBA 6.00 BR02

 

6% 15 Feb 2043

 

1,800,000

 

 

 

$

2,016,000

 

 

 

ALCOA INC SR UNSECURED

 

6.15% 15 Aug 2020

 

2,100,000

 

 

 

2,293,502

 

 

 

ALTRIA GROUP INC COMPANY GUAR

 

2.85% 09 Aug 2022

 

1,325,000

 

 

 

1,311,126

 

 

 

ALTRIA GROUP INC COMPANY GUAR

 

9.7% 10 Nov 2018

 

338,000

 

 

 

473,176

 

 

 

AMERICAN INTL GROUP SR UNSECURED

 

4.25% 15 Sep 2014

 

275,000

 

 

 

289,685

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

6.95% 15 Jun 2019

 

575,000

 

 

 

726,695

 

 

 

ANADARKO PETROLEUM CORP SR UNSECURED

 

6.375% 15 Sep 2017

 

580,000

 

 

 

692,807

 

 

 

AT+T INC SR UNSECURED

 

0.8% 01 Dec 2015

 

4,640,000

 

 

 

4,639,865

 

 

 

BANC OF AMERICA COMMERCIAL MOR BACM 2005 6 A4

 

1% 10 Sep 2047

 

1,350,000

 

 

 

1,503,972

 

 

 

BANK OF AMERICA CORP SUBORDINATED

 

5.75% 15 Aug 2016

 

2,275,000

 

 

 

2,487,785

 

 

 

BB+T CORPORATION SR UNSECURED

 

1.6% 15 Aug 2017

 

5,020,000

 

 

 

5,080,280

 

 

 

BEAR STEARNS COMMERCIAL MORTGA BSCMS 2005 PW10 A4

 

5.405% 11 Dec 2040

 

1,500,000

 

 

 

1,670,466

 

 

 

BOARDWALK PIPELINES LP COMPANY GUAR

 

3.375% 01 Feb 2023

 

2,820,000

 

 

 

2,769,674

 

 

 

BOSTON SCIENTIFIC CORP SR UNSECURED

 

6% 15 Jan 2020

 

1,205,000

 

 

 

1,405,576

 

 

 

BP CAPITAL MARKETS PLC COMPANY GUAR

 

2.248% 01 Nov 2016

 

5,435,000

 

 

 

5,654,487

 

 

 

CD COMMERCIAL MORTGAGE TRUST CD 2006 CD3 A5

 

5.617% 15 Oct 2048

 

1,500,000

 

 

 

1,724,013

 

 

 

CD COMMERCIAL MORTGAGE TRUST CD 2007 CD5 A4

 

1% 15 Nov 2044

 

1,892,150

 

 

 

2,235,870

 

 

 

CFCRE COMMERCIAL MORTGAGE TRUS CFCRE 2011 C1 A2 144A

 

3.758% 15 Apr 2044

 

1,500,000

 

 

 

1,622,874

 

 

 

CHEVRON CORP SR UNSECURED

 

1.104% 05 Dec 2017

 

3,005,000

 

 

 

3,025,981

 

 

 

CITIGROUP COMMERCIAL MORTGAGE CGCMT 2007 C6 A4

 

1% 10 Dec 2049

 

1,900,000

 

 

 

2,238,506

 

 

 

CITIGROUP COMMERCIAL MORTGAGE CGCMT 2008 C7 A4

 

1% 10 Dec 2049

 

3,247,000

 

 

 

3,918,366

 

 

 

CITIGROUP INC SR UNSECURED

 

6.01% 15 Jan 2015

 

1,181,000

 

 

 

1,290,496

 

 

 

CITIGROUP INC SUBORDINATED

 

5% 15 Sep 2014

 

2,765,000

 

 

 

2,909,023

 

 

 

CNOOC FINANCE 2011 LTD COMPANY GUAR 144A

 

4.25% 26 Jan 2021

 

1,305,000

 

 

 

1,424,372

 

 

 

COMM MORTGAGE TRUST COMM 2006 C7 A4

 

1% 10 Jun 2046

 

750,000

 

 

 

851,775

 

 

 

CONOCOPHILLIPS COMPANY COMPANY GUAR

 

1.05% 15 Dec 2017

 

3,045,000

 

 

 

3,035,341

 

 

 

COSTCO WHOLESALE CORP SR UNSECURED

 

1.7% 15 Dec 2019

 

3,195,000

 

 

 

3,216,758

 

 

 

COUNTRYWIDE FINL CORP SUBORDINATED

 

6.25% 15 May 2016

 

2,162,000

 

 

 

2,373,243

 

 

 

DISCOVER FINANCIAL SVS SR UNSECURED

 

5.2% 27 Apr 2022

 

1,115,000

 

 

 

1,269,667

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

5.7% 15 May 2018

 

305,000

 

 

 

362,729

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

4.25% 15 Nov 2020

 

750,000

 

 

 

833,785

 

 

 

DOW CHEMICAL CO/THE SR UNSECURED

 

4.125% 15 Nov 2021

 

185,000

 

 

 

202,672

 

 

 

EL PASO PIPELINE PART OP COMPANY GUAR

 

5% 01 Oct 2021

 

3,200,000

 

 

 

3,626,445

 

 

 

ENERGY TRANSFER PARTNERS SR UNSECURED

 

5.95% 01 Feb 2015

 

1,010,000

 

 

 

1,106,810

 

 

 

ENERGY TRANSFER PARTNERS SR UNSECURED

 

6.125% 15 Feb 2017

 

625,000

 

 

 

723,269

 

 

 

ENERGY TRANSFER PARTNERS SR UNSECURED

 

9% 15 Apr 2019

 

1,500,000

 

 

 

1,977,885

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

3.2% 01 Feb 2016

 

650,000

 

 

 

686,814

 

 

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR

 

1.25% 13 Aug 2015

 

385,000

 

 

 

387,364

 

 

 

EXPRESS SCRIPTS HOLDING COMPANY GUAR 144A

 

4.75% 15 Nov 2021

 

655,000

 

 

 

743,310

 

 

 

FANNIE MAE NOTES

 

0.7% 30 Apr 2015

 

8,600,000

 

 

 

8,611,335

 

 

 

FANNIE MAE NOTES

 

1.09% 04 Apr 2016

 

7,200,000

 

 

 

7,216,690

 

 

 

FANNIE MAE NOTES

 

1.375% 28 Aug 2017

 

10,900,000

 

 

 

10,923,064

 

 

 

FED HM LN PC POOL A95289

 

4% 01 Dec 2040

 

4,689,153

 

 

 

5,095,324

 

 

 

FED HM LN PC POOL C91385

 

4% 01 Aug 2031

 

3,504,619

 

 

 

3,779,711

 

 

 

FED HM LN PC POOL C91467

 

3.5% 01 Jul 2032

 

7,878,397

 

 

 

8,421,286

 

 

 

FED HM LN PC POOL D98903

 

3.5% 01 Jan 2032

 

7,171,605

 

 

 

7,771,123

 

 

 

FED HM LN PC POOL D98913

 

4% 01 Jan 2032

 

6,329,167

 

 

 

6,901,130

 

 

 

FED HM LN PC POOL Q04651

 

4% 01 Nov 2041

 

4,898,691

 

 

 

5,439,356

 

 

 

FED HM LN PC POOL Q05081

 

3.5% 01 Dec 2041

 

3,591,697

 

 

 

3,891,949

 

 

 

FED HM LN PC POOL Q05263

 

4% 01 Dec 2041

 

4,973,293

 

 

 

5,537,734

 

 

 

FED HM LN PC POOL Q12878

 

3.5% 01 Nov 2042

 

1,990,386

 

 

 

2,156,775

 

 

 

FIFTH THIRD BANCORP SUBORDINATED

 

5.45% 15 Jan 2017

 

2,050,000

 

 

 

2,296,859

 

 

 

FNMA TBA JAN 15 SINGLE FAM

 

4.5% 01 Dec 2099

 

3,850,000

 

 

 

4,141,156

 

 

 

FNMA POOL 190346

 

5.5% 01 Dec 2033

 

2,286,417

 

 

 

2,512,839

 

 

 

FNMA POOL 555531

 

5.5% 01 Jun 2033

 

930,932

 

 

 

1,023,122

 

 

 

FNMA POOL 555592 FNMA POOL 555592

 

5.5% 01 Jul 2033

 

2,214,126

 

 

 

2,433,390

 

 

 

FNMA POOL 725027

 

5% 01 Nov 2033

 

2,763,167

 

 

 

3,010,465

 

 

 

FNMA POOL 725231

 

5% 01 Feb 2034

 

1,524,381

 

 

 

1,660,810

 

 

 

FNMA POOL 725425

 

5.5% 01 Apr 2034

 

2,309,031

 

 

 

2,541,087

 

 

 

FNMA POOL 735036

 

5.5% 01 Dec 2034

 

2,262,495

 

 

 

2,475,236

 

 

 

FNMA POOL 735579

 

5% 01 Jun 2035

 

816,026

 

 

 

887,019

 

 

 

FNMA POOL 735580

 

5% 01 Jun 2035

 

2,435,659

 

 

 

2,658,701

 

 

 

FNMA POOL 735676

 

5% 01 Jul 2035

 

2,966,820

 

 

 

3,227,684

 

 

 

FNMA POOL 745140

 

5% 01 Nov 2035

 

6,274,425

 

 

 

6,812,445

 

 

 

FNMA POOL 745418

 

5.5% 01 Apr 2036

 

3,299,220

 

 

 

3,605,319

 

 

 

FNMA POOL 745515

 

5% 01 May 2036

 

2,486,790

 

 

 

2,706,648

 

 

 

FNMA POOL 931755

 

4.5% 01 Aug 2039

 

5,008,106

 

 

 

5,633,816

 

 

168



Table of Contents

 

 

 

FNMA POOL AA7666

 

4.5% 01 Jun 2039

 

3,239,122

 

 

 

3,596,242

 

 

 

FNMA POOL AA9295

 

4.5% 01 Jun 2039

 

1,183,503

 

 

 

1,331,369

 

 

 

FNMA POOL AB3546

 

4% 01 Sep 2031

 

2,605,300

 

 

 

2,804,596

 

 

 

FNMA POOL AB3853

 

4% 01 Nov 2041

 

4,617,498

 

 

 

5,093,371

 

 

 

FNMA POOL AB4678

 

3.5% 01 Mar 2042

 

1,259,649

 

 

 

1,369,231

 

 

 

FNMA POOL AC1878

 

4.5% 01 Sep 2039

 

3,805,559

 

 

 

4,281,024

 

 

 

FNMA POOL AD0394

 

4.5% 01 Oct 2039

 

3,543,344

 

 

 

3,986,048

 

 

 

FNMA POOL AE0835

 

4% 01 Jan 2041

 

7,304,661

 

 

 

8,137,364

 

 

 

FNMA POOL AE0981

 

3.5% 01 Mar 2041

 

2,943,349

 

 

 

3,140,538

 

 

 

FNMA POOL AE0994

 

4% 01 Feb 2041

 

1,354,038

 

 

 

1,512,625

 

 

 

FNMA POOL AE7723

 

4% 01 Nov 2040

 

2,195,854

 

 

 

2,356,280

 

 

 

FNMA POOL AJ0794

 

4% 01 Sep 2041

 

4,695,866

 

 

 

5,160,739

 

 

 

FNMA POOL AJ5733

 

3.5% 01 Dec 2041

 

3,468,061

 

 

 

3,765,429

 

 

 

FNMA POOL AJ7685

 

4% 01 Dec 2041

 

4,851,227

 

 

 

5,404,248

 

 

 

FNMA POOL AJ9325

 

3.5% 01 Jan 2042

 

2,060,957

 

 

 

2,244,113

 

 

 

FNMA POOL AK0765

 

4% 01 Mar 2042

 

1,120,895

 

 

 

1,252,176

 

 

 

FNMA POOL AK9785

 

3.5% 01 May 2042

 

5,291,514

 

 

 

5,657,592

 

 

 

FNMA POOL AO3535

 

3.5% 01 Jun 2042

 

7,900,686

 

 

 

8,585,533

 

 

 

FNMA POOL AO5527

 

4% 01 Jul 2042

 

1,378,974

 

 

 

1,532,725

 

 

 

FNMA POOL AO8106

 

4% 01 Aug 2042

 

2,584,862

 

 

 

2,873,065

 

 

 

FNMA POOL AO8167

 

4% 01 Sep 2042

 

2,051,080

 

 

 

2,279,768

 

 

 

FNMA POOL AO9180

 

3.5% 01 Jul 2042

 

7,887,892

 

 

 

8,532,191

 

 

 

FNMA POOL AQ4597

 

3.5% 01 Dec 2042

 

3,219,364

 

 

 

3,495,407

 

 

 

FNMA POOL AQ6154

 

3.5% 01 Nov 2032

 

4,983,991

 

 

 

5,328,794

 

 

 

FNMA POOL MA3894

 

4% 01 Sep 2031

 

2,703,111

 

 

 

2,909,888

 

 

 

FNMA TBA JAN 30 SINGLE FAM

 

6% 01 Dec 2099

 

7,980,000

 

 

 

8,715,656

 

 

 

FOUR TIMES SQUARE TRUST FTST 2006 4TS A 144A

 

5.401% 13 Dec 2028

 

2,700,000

 

 

 

3,238,688

 

 

169



Table of Contents

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

4.875% 04 Mar 2015

 

1,270,000

 

 

 

1,375,308

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

4.375% 16 Sep 2020

 

425,000

 

 

 

474,320

 

 

 

GENERAL ELEC CAP CORP SR UNSECURED

 

4.65% 17 Oct 2021

 

3,125,000

 

 

 

3,565,738

 

 

 

GNMA I TBA DEC 30 SINGLE FAM

 

5.5% 01 Dec 2099

 

2,500,000

 

 

 

2,771,875

 

 

 

GNMA I TBA DEC 30 SINGLE FAM

 

5.5% 01 Dec 2099

 

(2,500,000

)

 

 

(2,739,763

)

 

 

GNMA II POOL 004883

 

4.5% 20 Dec 2040

 

2,144,562

 

 

 

2,366,948

 

 

 

GNMA II POOL 004947

 

5% 20 Feb 2041

 

4,644,661

 

 

 

5,146,946

 

 

 

GNMA II POOL 005017

 

4.5% 20 Apr 2041

 

4,537,675

 

 

 

4,972,056

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.95% 18 Jan 2018

 

2,650,000

 

 

 

3,083,786

 

 

 

GOLDMAN SACHS GROUP INC SR UNSECURED

 

5.25% 27 Jul 2021

 

1,155,000

 

 

 

1,316,672

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2004 GG2 A6

 

5.396% 10 Aug 2038

 

1,500,000

 

 

 

1,585,019

 

 

 

GS MORTGAGE SECURITIES TRUST GSMS 2006 GG6 A4

 

5.553% 10 Apr 2038

 

3,000,000

 

 

 

3,377,520

 

 

 

HARTFORD FINL SVCS GRP SR UNSECURED

 

6% 15 Jan 2019

 

2,523,000

 

 

 

2,938,457

 

 

 

HARTFORD FINL SVCS GRP SR UNSECURED

 

5.5% 30 Mar 2020

 

1,450,000

 

 

 

1,684,719

 

 

 

HEWLETT PACKARD CO SR UNSECURED

 

6.125% 01 Mar 2014

 

1,505,000

 

 

 

1,582,082

 

 

 

HEWLETT PACKARD CO SR UNSECURED

 

4.65% 09 Dec 2021

 

905,000

 

 

 

908,520

 

 

 

HOME DEPOT INC SR UNSECURED

 

4.4% 01 Apr 2021

 

1,200,000

 

 

 

1,415,267

 

 

 

HSBC FINANCE CORP SR SUBORDINA

 

6.676% 15 Jan 2021

 

2,660,000

 

 

 

3,155,747

 

 

 

HSBC HOLDINGS PLC SR UNSECURED

 

5.1% 05 Apr 2021

 

2,500,000

 

 

 

2,952,203

 

 

 

INTEL CORP SR UNSECURED

 

1.35% 15 Dec 2017

 

5,505,000

 

 

 

5,503,409

 

 

 

INTL LEASE FINANCE CORP SR SECURED 144A

 

6.5% 01 Sep 2014

 

1,430,000

 

 

 

1,526,525

 

 

 

INTL LEASE FINANCE CORP SR UNSECURED

 

5.625% 20 Sep 2013

 

685,000

 

 

 

702,125

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 CB18 A4

 

5.44% 12 Jun 2047

 

2,850,000

 

 

 

3,280,219

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 CB20 A4

 

5.794% 12 Feb 2051

 

1,900,000

 

 

 

2,263,626

 

 

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 LDPX A3

 

5.42% 15 Jan 2049

 

3,000,000

 

 

 

3,469,818

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

3.45% 01 Mar 2016

 

375,000

 

 

 

398,254

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

3.15% 05 Jul 2016

 

1,345,000

 

 

 

1,424,960

 

 

 

JPMORGAN CHASE + CO SR UNSECURED

 

4.35% 15 Aug 2021

 

1,510,000

 

 

 

1,688,538

 

 

 

KRAFT FOODS GROUP INC SR UNSECURED 144A

 

1.625% 04 Jun 2015

 

2,480,000

 

 

 

2,524,067

 

 

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C7 A3

 

5.347% 15 Nov 2038

 

3,000,000

 

 

 

3,447,465

 

 

 

MARRIOTT INTERNATIONAL SR UNSECURED

 

3% 01 Mar 2019

 

1,175,000

 

 

 

1,209,316

 

 

 

MEDCO HEALTH SOLUTIONS SR UNSECURED

 

7.125% 15 Mar 2018

 

600,000

 

 

 

747,898

 

 

 

MERCK + CO INC SR UNSECURED

 

2.4% 15 Sep 2022

 

5,000,000

 

 

 

5,001,635

 

 

 

MERRILL LYNCH + CO SUBORDINATED

 

6.05% 16 May 2016

 

1,150,000

 

 

 

1,265,986

 

 

 

MERRILL LYNCH MORTGAGE TRUST MLMT 2005 CKI1 A6

 

5.44814% 12 Nov 2037

 

500,000

 

 

 

555,739

 

 

 

MONDELEZ INTERNATIONAL SR UNSECURED

 

4.125% 09 Feb 2016

 

1,895,000

 

 

 

2,064,612

 

 

 

MORGAN STANLEY SR UNSECURED

 

6% 28 Apr 2015

 

365,000

 

 

 

397,561

 

 

 

MORGAN STANLEY SR UNSECURED

 

5.625% 23 Sep 2019

 

2,890,000

 

 

 

3,268,532

 

 

 

MORGAN STANLEY SR UNSECURED

 

4.2% 20 Nov 2014

 

465,000

 

 

 

485,176

 

 

 

MORGAN STANLEY SUBORDINATED

 

4.75% 01 Apr 2014

 

1,945,000

 

 

 

2,013,999

 

 

 

NATIONAL OILWELL VARCO I SR UNSECURED

 

2.6% 01 Dec 2022

 

2,830,000

 

 

 

2,869,728

 

 

 

NBCUNIVERSAL MEDIA LLC SR UNSECURED

 

2.875% 01 Apr 2016

 

4,355,000

 

 

 

4,591,241

 

 

 

NEWFIELD EXPLORATION CO SR UNSECURED

 

4.75% 30 Jan 2022

 

4,000,000

 

 

 

4,400,000

 

 

 

PEPSICO INC SR UNSECURED

 

0.78% 05 Mar 2015

 

3,450,000

 

 

 

3,462,413

 

 

 

PETROHAWK ENERGY CORP COMPANY GUAR

 

6.25% 01 Jun 2019

 

4,965,000

 

 

 

5,653,626

 

 

 

PPL ENERGY SUPPLY LLC SR UNSECURED

 

4.6% 15 Dec 2021

 

1,320,000

 

 

 

1,431,144

 

 

 

PPL WEM HOLDINGS PLC SR UNSECURED 144A

 

3.9% 01 May 2016

 

1,348,000

 

 

 

1,419,517

 

 

 

PRIVATE EXPORT FUNDING US GOVT GUAR

 

2.05% 15 Nov 2022

 

5,730,000

 

 

 

5,718,678

 

 

 

REYNOLDS AMERICAN INC COMPANY GUAR

 

3.25% 01 Nov 2022

 

4,200,000

 

 

 

4,218,879

 

 

 

RIO TINTO FIN USA LTD COMPANY GUAR

 

9% 01 May 2019

 

2,985,000

 

 

 

4,099,981

 

 

 

ROHM + HAAS COMPANY SR UNSECURED

 

6% 15 Sep 2017

 

190,000

 

 

 

225,087

 

 

 

SHELL INTERNATIONAL FIN COMPANY GUAR

 

3.1% 28 Jun 2015

 

1,340,000

 

 

 

1,419,545

 

 

 

SIMON PROPERTY GROUP LP SR UNSECURED

 

5.875% 01 Mar 2017

 

1,190,000

 

 

 

1,408,954

 

 

 

SLM CORP SENIOR NOTES

 

6.25% 25 Jan 2016

 

4,200,000

 

 

 

4,567,500

 

 

 

SSGA G STIFF ERISA QUALIFIED

 

STIF-TYPE INSTRUMENT

 

53,396,453

 

 

 

53,396,453

 

 

 

TECK RESOURCES LIMITED COMPANY GUAR

 

2.5% 01 Feb 2018

 

2,920,000

 

 

 

2,980,756

 

 

 

TIME WARNER CABLE INC COMPANY GUAR

 

8.25% 14 Feb 2014

 

1,869,000

 

 

 

2,024,592

 

 

 

UNITEDHEALTH GROUP INC SR UNSECURED

 

1.4% 15 Oct 2017

 

1,575,000

 

 

 

1,577,463

 

 

 

US DOLLAR

 

 

 

0

 

 

 

0

 

 

 

US TREASURY N/B

 

0.25% 30 Apr 2014

 

15,975,000

 

 

 

15,981,869

 

 

 

US TREASURY N/B

 

0.375% 30 Jun 2013

 

11,090,000

 

 

 

11,103,863

 

 

 

US TREASURY N/B

 

0.125% 31 Jul 2014

 

1,800,000

 

 

 

1,796,976

 

 

 

US TREASURY N/B

 

0.875% 31 Jul 2019

 

6,750,000

 

 

 

6,666,678

 

 

 

US TREASURY N/B

 

1.25% 31 Aug 2015

 

2,190,000

 

 

 

2,243,210

 

 

 

US TREASURY N/B

 

0.375% 15 Nov 2014

 

8,540,000

 

 

 

8,560,018

 

 

 

US TREASURY N/B

 

1.625% 15 Nov 2022

 

2,575,000

 

 

 

2,546,835

 

 

 

US TREASURY N/B

 

1.5% 31 Dec 2013

 

2,740,000

 

 

 

2,775,642

 

 

 

US TREASURY N/B

 

0.875% 31 Dec 2016

 

29,045,000

 

 

 

29,444,369

 

 

 

VERIZON COMMUNICATIONS SR UNSECURED

 

0.7% 02 Nov 2015

 

5,300,000

 

 

 

5,301,330

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C27 A3

 

5.765% 15 Jul 2045

 

2,000,000

 

 

 

2,276,016

 

 

 

WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C29 A4

 

5.308% 15 Nov 2048

 

1,500,000

 

 

 

1,724,903

 

 

 

WAL MART STORES INC SR UNSECURED

 

3.25% 25 Oct 2020

 

1,295,000

 

 

 

1,409,933

 

 

 

WILLIAMS PARTNERS LP/WIL SR UNSECURED

 

7.25% 01 Feb 2017

 

465,000

 

 

 

564,895

 

 

 

WYNDHAM WORLDWIDE SR UNSECURED

 

2.95% 01 Mar 2017

 

275,000

 

 

 

281,206

 

 

 

WYNDHAM WORLDWIDE SR UNSECURED

 

4.25% 01 Mar 2022

 

1,175,000

 

 

 

1,213,207

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Fund 5744 15 of 15

 

 

 

 

 

$

591,288,622

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total: Investment Income Fund-Underling Investments at Fair Value (15 funds)

 

 

 

 

 

$

11,505,689,316

 

 

170



Table of Contents

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Bank of America

 

Synthetic GIC, 3.45%

 

 

 

 

 

$

5,281,132

 

 

 

JPMorgan Chase

 

Synthetic GIC, 3.45%

 

 

 

 

 

10,092,015

 

 

 

Royal Bank of Canada

 

Synthetic GIC, 3.45%

 

 

 

 

 

 

 

 

State Street Bank and Trust Company

 

Synthetic GIC, 3.45%

 

 

 

 

 

1,452,583

 

 

 

The Prudential Insurance Company of America

 

Synthetic GIC, 3.27%

 

 

 

 

 

 

 

 

New York Life Insurance Company

 

Synthetic GIC, 3.32%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Sub-Total : Synthetic GICs at Fair Value

 

 

 

 

 

$

16,825,730

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

TOTAL : Interest Income Fund at Fair Value

 

 

 

 

 

$

11,522,515,046

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

 

 

 

 

 

$

(708,476,138

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Interest Income Fund - at Contract Value

 

 

 

 

 

$

10,814,038,908

 

 


 

 

n / a  - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

 

171



Table of Contents

 

EXHIBIT K - Mutual Fund Window

(Administered by Fidelity)

 

IBM 401(k) PLUS PLAN AT DECEMBER 31, 2012

 

Schedule H, line 4i-Schedule of Assets  (Held At End of Year)

 

 

 

 

(b) Identity of issue, borrower,

 

(c) Description of investment including maturity date,

 

 

 

(e) Fair

 

(a)

 

lessor, or similar party

 

rate of interest, collateral, par, or maturity value

 

(d) Cost

 

value

 

 

 

 

 

 

 

 

 

(n/a)

 

 

 

 

 

 

 

 

 

Shares/

 

 

 

 

 

 

 

 

 

 

 

Par Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

American Funds AMCAP Fund Class R6

 

 

 

748,843

 

 

 

$

16,302,307

 

 

 

American Funds American Balanced Fund Class R6

 

 

 

604,931

 

 

 

12,340,588

 

 

 

American Funds American Mutual Fund Class R6

 

 

 

826,495

 

 

 

23,439,388

 

 

 

American Funds Capital World Bond Fund Class R6

 

 

 

952,025

 

 

 

20,192,457

 

 

 

American Funds Capital World Growth and Income Fund Class R6

 

 

 

847,733

 

 

 

31,535,658

 

 

 

American Funds EuroPacific Growth Fund Class R6

 

 

 

1,030,946

 

 

 

42,454,347

 

 

 

American Funds Fundamental Investors Fund Class R6

 

 

 

933,780

 

 

 

38,079,569

 

 

 

American Funds Growth Fund of America Class R6

 

 

 

1,499,425

 

 

 

51,490,237

 

 

 

American Funds International Growth And Income Fund Class R-6

 

 

 

36,556

 

 

 

1,158,837

 

 

 

American Funds Investment Company of America Fund Class R6

 

 

 

366,608

 

 

 

11,053,219

 

 

 

American Funds New Economy Fund Class R6

 

 

 

470,861

 

 

 

13,381,876

 

 

 

American Funds New Perspective Fund Class R6

 

 

 

384,122

 

 

 

12,003,822

 

 

 

American Funds New World Fund Class R6

 

 

 

1,099,939

 

 

 

59,935,677

 

 

 

American Funds SMALLCAP World Fund Class R6

 

 

 

639,000

 

 

 

25,470,529

 

 

 

American Funds Washington Mutual Investors Fund Class R6

 

 

 

543,155

 

 

 

16,951,876

 

 

 

DFA Emerging Markets Portfolio Institutional Class

 

 

 

1,039,818

 

 

 

28,636,575

 

 

 

DFA Emerging Markets Value Portfolio Institutional Class

 

 

 

1,497,350

 

 

 

44,680,915

 

 

 

DFA Global Real Estate Securities

 

 

 

1,207,199

 

 

 

10,876,867

 

 

 

DFA International Small Company Portfolio Institutional Class

 

 

 

482,955

 

 

 

7,693,469

 

 

 

DFA International Value Portfolio Institutional Class

 

 

 

241,207

 

 

 

4,004,044

 

 

 

DFA International Vector Equity Portfolio Institutional Class

 

 

 

145,896

 

 

 

1,438,532

 

 

 

DFA Large Cap International Portfolio Institutional Class

 

 

 

215,970

 

 

 

4,155,259

 

 

 

DFA U.S. Core Equity I Portfolio Institutional Class

 

 

 

740,948

 

 

 

9,150,713

 

 

 

DFA U.S. Small Cap Portfolio Institutional Class

 

 

 

644,525

 

 

 

14,611,387

 

 

 

DFA U.S. Targeted Value Portfolio Institutional Class

 

 

 

920,890

 

 

 

15,664,344

 

 

 

DFA U.S. Vector Equity Portfolio Institutional Class

 

 

 

172,374

 

 

 

2,065,041

 

 

 

Dodge & Cox Balanced Fund

 

 

 

283,186

 

 

 

22,105,480

 

 

 

Dodge & Cox Global Stock Fund

 

 

 

687,250

 

 

 

6,178,374

 

 

 

Dodge & Cox Income Fund

 

 

 

3,567,690

 

 

 

49,448,187

 

 

 

Dodge & Cox International Stock Fund

 

 

 

1,704,756

 

 

 

59,052,742

 

 

 

Dodge & Cox Stock Fund

 

 

 

783,494

 

 

 

95,507,899

 

 

 

Fidelity Fifty®

 

 

 

301,402

 

 

 

6,088,325

 

 

 

Fidelity Freedom K® 2000 Fund

 

 

 

280,464

 

 

 

3,315,087

 

 

 

Fidelity Freedom K® 2005 Fund

 

 

 

65,514

 

 

 

827,445

 

 

 

Fidelity Freedom K® 2010 Fund

 

 

 

470,863

 

 

 

6,064,716

 

 

 

Fidelity Freedom K® 2015 Fund

 

 

 

960,778

 

 

 

12,451,685

 

 

 

Fidelity Freedom K® 2020 Fund

 

 

 

1,498,531

 

 

 

20,065,324

 

 

 

Fidelity Freedom K® 2025 Fund

 

 

 

731,349

 

 

 

9,931,722

 

 

 

Fidelity Freedom K® 2030 Fund

 

 

 

803,541

 

 

 

11,024,582

 

 

 

Fidelity Freedom K® 2035 Fund

 

 

 

501,634

 

 

 

6,957,662

 

 

 

Fidelity Freedom K® 2040 Fund

 

 

 

267,448

 

 

 

3,720,203

 

 

 

Fidelity Freedom K® 2045 Fund

 

 

 

85,685

 

 

 

1,207,307

 

 

 

Fidelity Freedom K® 2050 Fund

 

 

 

115,909

 

 

 

1,636,636

 

 

 

Fidelity Freedom K® Income Fund

 

 

 

322,428

 

 

 

3,765,958

 

 

 

Fidelity® Balanced Fund - Class K

 

 

 

762,376

 

 

 

15,377,131

 

 

 

Fidelity® Blue Chip Growth Fund - Class K

 

 

 

864,507

 

 

 

42,438,672

 

 

 

Fidelity® Canada Fund

 

 

 

1,039,783

 

 

 

55,638,785

 

 

 

Fidelity® Capital & Income Fund

 

 

 

6,824,050

 

 

 

64,828,473

 

 

 

Fidelity® Capital Appreciation Fund - Class K

 

 

 

659,924

 

 

 

19,408,365

 

 

 

Fidelity® China Region Fund

 

 

 

2,802,711

 

 

 

85,931,123

 

 

 

Fidelity® Contrafund® - Class K

 

 

 

2,139,899

 

 

 

165,863,538

 

 

 

Fidelity® Convertible Securities Fund

 

 

 

405,392

 

 

 

10,503,694

 

 

 

Fidelity® Disciplined Equity Fund - Class K

 

 

 

131,157

 

 

 

3,192,354

 

 

 

Fidelity® Diversified International Fund - Class K

 

 

 

744,543

 

 

 

22,254,393

 

 

 

Fidelity® Dividend Growth Fund - Class K

 

 

 

1,417,796

 

 

 

42,363,740

 

 

 

Fidelity® Emerging Asia Fund

 

 

 

1,386,059

 

 

 

41,429,317

 

 

 

Fidelity® Equity-Income Fund - Class K

 

 

 

320,131

 

 

 

15,058,966

 

 

 

Fidelity® Europe Fund

 

 

 

195,474

 

 

 

6,106,608

 

 

 

Fidelity® Export and Multinational Fund - Class K

 

 

 

577,180

 

 

 

12,617,149

 

 

 

Fidelity® Floating Rate High Income Fund

 

 

 

1,856,544

 

 

 

18,416,919

 

 

 

Fidelity® Fund - Class K

 

 

 

242,552

 

 

 

8,680,941

 

 

 

Fidelity® Global Balanced Fund

 

 

 

356,822

 

 

 

8,349,638

 

 

 

Fidelity® GNMA Fund

 

 

 

2,350,989

 

 

 

27,600,612

 

 

 

Fidelity® Government Income Fund

 

 

 

2,300,431

 

 

 

24,338,557

 

 

 

Fidelity® Growth Company Fund - Class K

 

 

 

903,909

 

 

 

84,316,632

 

 

 

Fidelity® Growth Discovery Fund - Class K

 

 

 

1,231,819

 

 

 

19,179,424

 

 

 

Fidelity® High Income Fund

 

 

 

3,354,239

 

 

 

31,328,589

 

 

 

Fidelity® Independence Fund - Class K

 

 

 

1,276,726

 

 

 

33,092,732

 

 

 

Fidelity® Inflation-Protected Bond Fund

 

 

 

2,278,762

 

 

 

30,444,256

 

 

 

Fidelity® Institutional Short-Intermediate Government Fund

 

 

 

2,313,797

 

 

 

23,369,348

 

 

 

Fidelity® Intermediate Bond Fund

 

 

 

910,201

 

 

 

10,139,642

 

 

 

Fidelity® Intermediate Government Income Fund

 

 

 

1,298,451

 

 

 

14,088,191

 

 

172



Table of Contents

 

 

 

Fidelity® International Discovery Fund - Class K

 

 

 

380,439

 

 

 

12,546,862

 

 

 

Fidelity® International Real Estate Fund

 

 

 

1,702,016

 

 

 

16,203,193

 

 

 

Fidelity® International Small Cap Fund

 

 

 

585,822

 

 

 

11,921,488

 

 

 

Fidelity® Japan Fund

 

 

 

439,454

 

 

 

4,319,834

 

 

 

Fidelity® Large Cap Stock Fund

 

 

 

783,902

 

 

 

16,062,148

 

 

 

Fidelity® Latin America Fund

 

 

 

1,564,711

 

 

 

72,461,762

 

 

 

Fidelity® Leveraged Company Stock Fund - Class K

 

 

 

1,787,051

 

 

 

57,668,130

 

 

 

Fidelity® Low-Priced Stock Fund - Class K

 

 

 

958,097

 

 

 

37,816,087

 

 

 

Fidelity® Mid-Cap Stock Fund - Class K

 

 

 

1,115,345

 

 

 

32,735,390

 

 

 

Fidelity® New Markets Income Fund

 

 

 

4,435,329

 

 

 

78,948,849

 

 

 

Fidelity® OTC Portfolio - Class K

 

 

 

609,692

 

 

 

37,203,396

 

 

 

Fidelity® Overseas Fund - Class K

 

 

 

167,224

 

 

 

5,391,296

 

 

 

Fidelity® Pacific Basin Fund

 

 

 

576,881

 

 

 

14,398,951

 

 

 

Fidelity® Real Estate Income Fund

 

 

 

2,519,130

 

 

 

28,718,082

 

 

 

Fidelity® Real Estate Investment Portfolio

 

 

 

1,219,163

 

 

 

39,183,912

 

 

 

Fidelity® Short-Term Bond Fund

 

 

 

1,551,383

 

 

 

13,341,891

 

 

 

Fidelity® Small Cap Discovery Fund

 

 

 

3,983,491

 

 

 

95,882,636

 

 

 

Fidelity® Small Cap Stock Fund

 

 

 

1,678,964

 

 

 

30,372,456

 

 

 

Fidelity® Stock Selector Small Cap Fund

 

 

 

385,507

 

 

 

7,748,688

 

 

 

Fidelity® Strategic Income Fund

 

 

 

4,773,925

 

 

 

54,279,526

 

 

 

Fidelity® Total Bond Fund

 

 

 

1,217,377

 

 

 

13,330,281

 

 

 

Fidelity® Trend Fund

 

 

 

144,660

 

 

 

10,639,762

 

 

 

Fidelity® Value Fund - Class K

 

 

 

224,478

 

 

 

17,147,844

 

 

 

Fidelity® Value Strategies Fund - Class K

 

 

 

631,668

 

 

 

19,973,336

 

 

 

PIMCO All Asset All Authority Fund Institutional Class

 

 

 

2,646,546

 

 

 

29,350,191

 

 

 

PIMCO All Asset Fund Institutional Class

 

 

 

1,843,368

 

 

 

23,189,572

 

 

 

PIMCO CommodityRealReturn Strategy Fund Institutional Class

 

 

 

12,240,739

 

 

 

81,278,507

 

 

 

PIMCO Diversified Income Fund Institutional Class

 

 

 

1,557,405

 

 

 

19,062,634

 

 

 

PIMCO Emerging Local Bond Fund Institutional Class

 

 

 

1,222,249

 

 

 

13,420,291

 

 

 

PIMCO Emerging Markets Bond Fund Institutional Class

 

 

 

2,796,797

 

 

 

34,959,964

 

 

 

PIMCO Foreign Bond (U.S. Dollar-Hedged) Fund Institutional Class

 

 

 

850,118

 

 

 

9,172,770

 

 

 

PIMCO Foreign Bond (Unhedged) Fund Institutional Class

 

 

 

1,997,163

 

 

 

21,749,102

 

 

 

PIMCO Global Bond (Unhedged) Fund Institutional Class

 

 

 

1,495,857

 

 

 

14,988,490

 

 

 

PIMCO Global Bond (US Dollar-Hedged) Fund Institutional Class

 

 

 

514,787

 

 

 

5,400,113

 

 

 

PIMCO GNMA Fund Institutional Class

 

 

 

1,362,211

 

 

 

15,828,887

 

 

 

PIMCO High Yield Fund Institutional Class

 

 

 

3,487,071

 

 

 

33,615,369

 

 

 

PIMCO Investment Grade Corporate Bond Fund Institutional Class

 

 

 

6,165,059

 

 

 

68,555,457

 

 

 

PIMCO Long-Term U.S. Government Fund Institutional Class

 

 

 

5,888,351

 

 

 

65,066,281

 

 

 

PIMCO Low Duration Fund Institutional Class

 

 

 

3,315,458

 

 

 

34,845,461

 

 

 

PIMCO Low Duration III Fund Institutional Class

 

 

 

1,360,422

 

 

 

13,563,405

 

 

 

PIMCO Moderate Duration Fund Institutional Class

 

 

 

408,111

 

 

 

4,444,324

 

 

 

PIMCO Mortgage-Backed Securities Fund Institutional Class

 

 

 

455,508

 

 

 

4,837,496

 

 

 

PIMCO Real Return Asset Fund Institutional Class

 

 

 

4,168,469

 

 

 

41,059,415

 

 

 

PIMCO Real Return Fund Institutional Class

 

 

 

2,673,483

 

 

 

32,803,632

 

 

 

PIMCO RealEstateRealReturn Strategy Fund Institutional Class

 

 

 

34,257,465

 

 

 

168,546,730

 

 

 

PIMCO StocksPLUS Fund Institutional Class

 

 

 

1,661,735

 

 

 

13,858,873

 

 

 

PIMCO Total Return Fund Institutional Class

 

 

 

13,010,416

 

 

 

146,237,078

 

 

 

PIMCO Total Return III Fund Institutional Class

 

 

 

2,372,401

 

 

 

23,463,045

 

 

 

PIMCO Unconstrained Bond Fund Institutional Class

 

 

 

183,566

 

 

 

2,107,342

 

 

 

Vanguard Convertible Securities Fund Investor Shares

 

 

 

954,264

 

 

 

12,080,976

 

 

 

Vanguard Dividend Growth Fund Investor Shares

 

 

 

6,367,646

 

 

 

105,957,636

 

 

 

Vanguard Equity-Income Fund Admiral Shares

 

 

 

1,017,795

 

 

 

51,520,777

 

 

 

Vanguard Explorer Fund Admiral Shares

 

 

 

185,705

 

 

 

13,725,448

 

 

 

Vanguard FTSE Social Index Fund Investor Shares

 

 

 

144,116

 

 

 

1,237,955

 

 

 

Vanguard Global Equity Fund Investor Shares

 

 

 

452,952

 

 

 

8,456,619

 

 

 

Vanguard GNMA Fund Admiral Shares

 

 

 

2,574,894

 

 

 

28,092,098

 

 

 

Vanguard Growth and Income Fund Admiral Shares

 

 

 

205,831

 

 

 

10,184,532

 

 

 

Vanguard High-Yield Corporate Fund Admiral Shares

 

 

 

4,351,147

 

 

 

26,585,510

 

 

 

Vanguard Inflation-Protected Securities Fund Institutional Shares

 

 

 

4,693,462

 

 

 

54,538,029

 

 

 

Vanguard Intermediate-Term Bond Index Fund Institutional Shares

 

 

 

1,856,453

 

 

 

22,203,184

 

 

 

Vanguard Intermediate-Term Investment-Grade Fund Admiral Shares

 

 

 

2,133,854

 

 

 

22,021,376

 

 

 

Vanguard Intermediate-Term Treasury Fund Admiral Shares

 

 

 

4,213,275

 

 

 

49,295,323

 

 

 

Vanguard International Explorer Fund Investor Shares

 

 

 

1,062,765

 

 

 

15,633,271

 

 

 

Vanguard International Growth Fund Admiral Shares

 

 

 

282,112

 

 

 

17,287,833

 

 

 

Vanguard International Value Fund Investor Shares

 

 

 

273,884

 

 

 

8,539,689

 

 

 

Vanguard Long-Term Bond Index Fund Institutional Shares

 

 

 

2,351,413

 

 

 

33,554,658

 

 

 

Vanguard Long-Term Investment-Grade Fund Admiral Shares

 

 

 

1,522,362

 

 

 

16,517,623

 

 

 

Vanguard Long-Term US Treasury Fund Admiral Shares

 

 

 

4,529,285

 

 

 

59,197,754

 

 

 

Vanguard Mid-Cap Growth Fund Investor Shares

 

 

 

1,928,053

 

 

 

39,274,438

 

 

 

Vanguard Mid-Cap Index Fund Institutional Shares

 

 

 

1,477,490

 

 

 

33,273,074

 

 

 

Vanguard Morgan Growth Fund Admiral Shares

 

 

 

116,119

 

 

 

7,162,229

 

 

 

Vanguard PRIMECAP Core Fund Investor Shares

 

 

 

2,082,264

 

 

 

31,088,197

 

 

 

Vanguard Selected Value Fund Investor Shares

 

 

 

1,271,994

 

 

 

26,686,442

 

 

 

Vanguard Short-Term Bond Index Fund Institutional Shares

 

 

 

1,401,825

 

 

 

14,901,402

 

 

 

Vanguard Short-Term Federal Fund Admiral Shares

 

 

 

2,325,912

 

 

 

25,119,850

 

 

 

Vanguard Short-Term Investment-Grade Fund Admiral Shares

 

 

 

2,086,696

 

 

 

22,598,922

 

 

 

Vanguard Short-Term Treasury Fund Admiral Shares

 

 

 

6,768,831

 

 

 

72,697,248

 

 

 

Vanguard Small-Cap Index Fund Institutional Shares

 

 

 

598,865

 

 

 

23,212,025

 

 

 

Vanguard Star Fund Investor Shares

 

 

 

390,989

 

 

 

8,132,566

 

 

 

Vanguard Strategic Equity Fund Investor Shares

 

 

 

377,691

 

 

 

8,101,469

 

 

 

Vanguard Target Retirement 2010 Fund Investor Shares

 

 

 

225,671

 

 

 

5,445,443

 

 

 

Vanguard Target Retirement 2015 Fund Investor Shares

 

 

 

1,195,572

 

 

 

15,996,748

 

 

 

Vanguard Target Retirement 2020 Fund Investor Shares

 

 

 

611,644

 

 

 

14,575,476

 

 

 

Vanguard Target Retirement 2025 Fund Investor Shares

 

 

 

1,046,493

 

 

 

14,221,842

 

 

 

Vanguard Target Retirement 2030 Fund Investor Shares

 

 

 

584,328

 

 

 

13,661,594

 

 

 

Vanguard Target Retirement 2035 Fund Investor Shares

 

 

 

757,331

 

 

 

10,670,790

 

 

 

Vanguard Target Retirement 2040 Fund Investor Shares

 

 

 

251,090

 

 

 

5,820,273

 

 

 

Vanguard Target Retirement 2045 Fund Investor Shares

 

 

 

198,707

 

 

 

2,891,191

 

 

 

Vanguard Target Retirement 2050 Fund Investor Shares

 

 

 

88,648

 

 

 

2,046,891

 

 

 

Vanguard Target Retirement Income Fund Investor Shares

 

 

 

372,179

 

 

 

4,536,864

 

 

 

Vanguard Wellesley Income Fund Admiral Shares

 

 

 

1,665,604

 

 

 

97,271,246

 

 

 

Vanguard Wellington Fund Admiral Shares

 

 

 

844,192

 

 

 

49,343,035

 

 

 

Vanguard Windsor Fund Admiral Shares

 

 

 

129,997

 

 

 

6,622,037

 

 

 

Vanguard Windsor II Fund Admiral Shares

 

 

 

233,994

 

 

 

12,198,086

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total : EXHIBIT K - Mutual Fund Window

 

 

 

 

 

$

4,548,354,552

 

 


 

 

n / a  - Cost is not applicable

 

 

 

 

 

 

 

 

 

 

173