þ | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
o | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
One Amgen Center Drive, Thousand Oaks, California |
91320-1799 (Zip Code) |
|
(Address of principal executive offices) |
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55 |
1
December 31 | ||||||||
2010 | 2009 | |||||||
Assets |
||||||||
Investments at fair value |
$ | 2,467,408,893 | $ | 2,001,113,457 | ||||
Notes receivable from participants |
39,056,821 | 33,088,940 | ||||||
Other - principally due from broker |
5,286,145 | 12,262,379 | ||||||
Total assets |
2,511,751,859 | 2,046,464,776 | ||||||
Liabilities |
||||||||
Other principally due to broker |
4,339,311 | 26,623,328 | ||||||
Total liabilities |
4,339,311 | 26,623,328 | ||||||
Net assets reflecting investments at fair value |
2,507,412,548 | 2,019,841,448 | ||||||
Adjustment from fair value to contract value for interests
in fully benefit-responsive investment contracts |
(7,435,631 | ) | (3,744,082 | ) | ||||
Net assets available for benefits |
$ | 2,499,976,917 | $ | 2,016,097,366 | ||||
2
Year Ended December 31 | ||||||||
2010 | 2009 | |||||||
Additions to (deductions from) net assets: |
||||||||
Employer contributions |
$ | 149,724,435 | $ | 147,003,121 | ||||
Participant contributions |
128,595,814 | 126,536,394 | ||||||
Rollover contributions |
7,411,490 | 7,437,455 | ||||||
Interest and dividend income |
24,808,560 | 19,697,781 | ||||||
Net realized/unrealized gains |
286,459,798 | 376,331,466 | ||||||
Interest income on notes receivable from participants |
1,935,517 | 2,031,456 | ||||||
Benefits paid |
(115,056,063 | ) | (101,482,862 | ) | ||||
Net increase |
483,879,551 | 577,554,811 | ||||||
Net assets available for benefits at beginning of year |
2,016,097,366 | 1,438,542,555 | ||||||
Net assets available for benefits at end of year |
$ | 2,499,976,917 | $ | 2,016,097,366 | ||||
3
4
5
6
7
8
9
10
Level 1 Valuations based on unadjusted quoted prices in active markets for identical
investments that the Plan has the ability to access; |
Level 2 Valuations for which all significant inputs are observable, either directly or
indirectly, other than level 1 inputs; |
Level 3 Valuations based on inputs that are unobservable and significant to the overall fair
value measurement. |
11
12
Fair value measurements at December 31, 2010 using | ||||||||||||||||
Quoted prices | ||||||||||||||||
in active | Significant | |||||||||||||||
markets for | other | Significant | ||||||||||||||
identical | observable | unobservable | ||||||||||||||
assets | inputs | inputs | ||||||||||||||
(Level 1) | (Level 2) | (Level 3) | Total | |||||||||||||
Assets: |
||||||||||||||||
Amgen stock |
$ | 139,405,458 | $ | - | $ | - | $ | 139,405,458 | ||||||||
Cash and cash equivalents |
19,881,557 | - | - | 19,881,557 | ||||||||||||
Common and preferred stocks: |
||||||||||||||||
International growth |
93,977,228 | - | - | 93,977,228 | ||||||||||||
Large cap growth |
255,478,824 | - | - | 255,478,824 | ||||||||||||
Large cap value |
85,741,285 | - | - | 85,741,285 | ||||||||||||
Small-mid cap growth |
38,249,402 | - | - | 38,249,402 | ||||||||||||
Small-mid cap value |
230,338,562 | - | - | 230,338,562 | ||||||||||||
Other |
70,224,981 | - | - | 70,224,981 | ||||||||||||
Debt securities: |
||||||||||||||||
U.S. Treasury securities |
44,550,895 | - | - | 44,550,895 | ||||||||||||
U.S. government agency securities |
- | 62,179,392 | - | 62,179,392 | ||||||||||||
Corporate debt securities |
- | 23,154,441 | - | 23,154,441 | ||||||||||||
Mortgage and asset backed
securities |
- | 16,770,352 | - | 16,770,352 | ||||||||||||
Mutual funds: |
||||||||||||||||
High yield debt |
55,894,767 | - | - | 55,894,767 | ||||||||||||
Inflation indexed debt |
28,201,779 | - | - | 28,201,779 | ||||||||||||
International value |
185,682,583 | - | - | 185,682,583 | ||||||||||||
Real estate investment trust index |
51,673,083 | - | - | 51,673,083 | ||||||||||||
Other |
23,687,490 | - | - | 23,687,490 | ||||||||||||
Collective trust funds: |
||||||||||||||||
Capital preservation |
- | 226,216,729 | - | 226,216,729 | ||||||||||||
Emerging markets equity |
- | 116,948,981 | - | 116,948,981 | ||||||||||||
Fixed income |
- | 16,014,540 | - | 16,014,540 | ||||||||||||
Inflation indexed debt |
- | 1,995,480 | - | 1,995,480 | ||||||||||||
International |
- | 16,048,576 | - | 16,048,576 | ||||||||||||
Large cap growth |
- | 22,395,947 | - | 22,395,947 | ||||||||||||
Large cap index |
- | 423,896,749 | - | 423,896,749 | ||||||||||||
Large cap value |
- | 6,184,215 | - | 6,184,215 | ||||||||||||
Small-mid cap growth |
- | 2,463,833 | - | 2,463,833 | ||||||||||||
Small-mid cap index |
- | 142,016,186 | - | 142,016,186 | ||||||||||||
Small-mid cap value |
- | 19,473,575 | - | 19,473,575 | ||||||||||||
Short term investments |
- | 47,835,124 | - | 47,835,124 | ||||||||||||
Other |
6,445 | 820,434 | - | 826,879 | ||||||||||||
$ | 1,322,994,339 | $ | 1,144,414,554 | $ | - | $ | 2,467,408,893 | |||||||||
13
Fair value measurements at December 31, 2009 using | ||||||||||||||||
Quoted prices | ||||||||||||||||
in active | Significant | |||||||||||||||
markets for | other | Significant | ||||||||||||||
identical | observable | unobservable | ||||||||||||||
assets | inputs | inputs | ||||||||||||||
(Level 1) | (Level 2) | (Level 3) | Total | |||||||||||||
Assets: |
||||||||||||||||
Amgen stock |
$ | 146,061,982 | $ | - | $ | - | $ | 146,061,982 | ||||||||
Cash and cash equivalents |
35,862,688 | - | - | 35,862,688 | ||||||||||||
Common and preferred stocks: |
||||||||||||||||
Growth |
353,751,058 | 2,904,921 | - | 356,655,979 | ||||||||||||
Value |
271,739,149 | - | - | 271,739,149 | ||||||||||||
Other |
39,916,055 | - | - | 39,916,055 | ||||||||||||
Debt securities issued by the |
||||||||||||||||
U.S.
Treasury and other U.S. government agencies |
16,813,537 | 24,674,652 | - | 41,488,189 | ||||||||||||
Corporate debt securities |
- | 24,945,461 | - | 24,945,461 | ||||||||||||
Other debt securities |
- | 8,792,806 | - | 8,792,806 | ||||||||||||
Mutual funds: |
||||||||||||||||
Fixed income |
50,534,357 | - | - | 50,534,357 | ||||||||||||
Value |
132,761,979 | - | - | 132,761,979 | ||||||||||||
Other |
52,035,159 | - | - | 52,035,159 | ||||||||||||
Collective trust funds: |
||||||||||||||||
Fixed income |
- | 269,272,488 | - | 269,272,488 | ||||||||||||
Growth |
- | 24,377,843 | - | 24,377,843 | ||||||||||||
Index |
- | 417,134,838 | - | 417,134,838 | ||||||||||||
Value |
- | 36,686,143 | - | 36,686,143 | ||||||||||||
Emerging markets |
- | 90,343,861 | - | 90,343,861 | ||||||||||||
Other |
- | 1,725,256 | - | 1,725,256 | ||||||||||||
Other |
11,520 | 767,704 | - | 779,224 | ||||||||||||
$ | 1,099,487,484 | $ | 901,625,973 | $ | - | $ | 2,001,113,457 | |||||||||
14
December 31 | ||||||||
2010 | 2009 | |||||||
Blackrock Equity Index Fund F Collective trust fund |
$ | 399,130,479 | $ | 317,966,339 | ||||
Dodge & Cox International Fund |
185,682,583 | 132,761,979 | ||||||
Amgen stock |
139,405,458 | 146,061,982 | ||||||
Blackrock Extended Equity Market Fund F Collective
trust fund |
136,228,720 | * | ||||||
Wells Fargo
Fixed Income Fund D - Collective trust fund |
125,160,486 | 115,291,348 | ||||||
Wells Fargo
Stable Return Fund G - Collective trust fund |
* | 101,139,377 |
15
Year Ended December 31 | ||||||||
2010 | 2009 | |||||||
Amgen stock |
$ | (4,197,153 | ) | $ | (2,886,135 | ) | ||
Common and preferred stocks |
125,807,749 | 160,930,191 | ||||||
Debt securities |
4,194,190 | 5,448,633 | ||||||
Mutual funds |
37,801,688 | 58,353,945 | ||||||
Collective trust funds |
122,475,000 | 152,712,132 | ||||||
Other |
378,324 | 1,772,700 | ||||||
$ | 286,459,798 | $ | 376,331,466 | |||||
16
December 31 | |||||||||
2010 | 2009 | ||||||||
Net assets available for benefits per the financial
statements |
$ | 2,499,976,917 | $ | 2,016,097,366 | |||||
Adjustment from fair value to contract value for
fully benefit-responsive investment contracts |
7,435,631 | 3,744,082 | |||||||
Amounts allocated to withdrawing participants |
(66,864 | ) | (359,818 | ) | |||||
Deemed loans |
(318,875 | ) | (199,795 | ) | |||||
Net assets per the Form 5500 |
$ | 2,507,026,809 | $ | 2,019,281,835 | |||||
Year Ended | ||||
December 31 | ||||
2010 | ||||
Interest and dividend income |
$ | 24,808,560 | ||
Net realized/unrealized gains |
286,459,798 | |||
Total net investment income per the financial statements |
311,268,358 | |||
Adjustment from fair value to contract value for fully benefit-responsive
investment contracts: |
||||
Less prior year adjustment |
(3,744,082 | ) | ||
Add current year adjustment |
7,435,631 | |||
Total net investment income per the Form 5500 |
$ | 314,959,907 | ||
17
Year Ended | ||||
December 31 | ||||
2010 | ||||
Total distributions per the financial statements |
$ | 115,056,063 | ||
Less prior year amounts allocated to withdrawing participants |
(359,818 | ) | ||
Add current year amounts allocated to withdrawing participants |
66,864 | |||
Less prior year deemed loan balance |
(199,795 | ) | ||
Add current year deemed loan balance |
318,875 | |||
Total distributions per the Form 5500 |
$ | 114,882,189 | ||
18
Identity of Issue | Description of Investment | Current Value | ||||||||
Amgen stock* |
Employer Securities 2,539,262 shares | $ | 139,405,458 | |||||||
Capital Preservation Asset Class: |
||||||||||
Wells Fargo Fixed Income Fund D |
Common Collective Trust 10,816,113 units | 125,160,486 | ||||||||
Wells Fargo Stable Return Fund G |
Common Collective Trust 2,067,469 units | 101,056,243 | ||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 12,939,056 units | 12,939,056 | ||||||||
JP Morgan Chase & Company |
Wrapper Contract | 317,428 | ||||||||
Monumental Life Insurance Company |
Wrapper Contract | 71,198 | ||||||||
Total Capital Preservation Asset Class |
239,544,411 | |||||||||
Emerging
Markets Equity Asset Class: |
||||||||||
JP Morgan Emerging Markets Equity Focus Fund |
Common Collective Trust 1,982,991 units | 108,965,368 | ||||||||
Northern
Trust Collective MSCI Emerging Markets Fund - Non-Lending* |
Common Collective Trust 49,007 units | 7,983,613 | ||||||||
Total Emerging
Markets Equity Asset Class |
116,948,981 | |||||||||
Fixed Income Asset Class: |
||||||||||
Northern
Trust Collective Aggregate Bond Index Fund - Non-Lending* |
Common Collective Trust 141,939 units | 16,014,540 | ||||||||
United States Treasury Notes 1% Due 4/30/2012 |
Government Bonds 9,532,000 units | 9,609,114 | ||||||||
United States Treasury Notes 1.375% Due 3/15/13 |
Government Bonds 9,060,000 units | 9,192,367 | ||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 4,847,330 units | 4,847,330 | ||||||||
United States Treasury Bonds 8.875% Due 2/15/2019 |
Government Bonds 3,280,000 units | 4,718,077 | ||||||||
United States Treasury Bonds 8.875% Due 8/15/2017 |
Government Bonds 3,125,000 units | 4,340,819 | ||||||||
United States Treasury Notes 2.625% Due 12/31/2014 |
Government Bonds 3,526,000 units | 3,676,680 | ||||||||
United States Treasury Notes 2.25% Due 1/31/2015 |
Government Bonds 2,580,000 units | 2,648,530 | ||||||||
United States Treasury Bonds Inflation Index 2.375% Due 1/15/2027 |
Index Linked Government Bonds 1,230,000 units | 1,482,426 | ||||||||
Fannie Mae Pool #735581 5% Due 6/01/2035 |
Government Mortgage Backed Securities 1,292,952 units | 1,365,876 | ||||||||
United States Treasury Notes 3.125% Due 5/15/2019 |
Government Bonds 1,230,000 units | 1,242,973 | ||||||||
United States Treasury Bonds 8.125% Due 8/15/2019 |
Government Bonds 850,000 units | 1,184,223 | ||||||||
United States Treasury Bonds 4.375% Due 11/15/2039 |
Government Bonds 1,176,000 units | 1,182,247 | ||||||||
United States Treasury Notes 4.75% Due 8/15/2017 |
Government Bonds 995,000 units | 1,128,314 | ||||||||
JP Morgan Chase Commercial Mortgage Securities Corporation Series 2005-LDP2 4.78% Due 7/15/2042 |
Commercial Mortgage Backed Securities 890,000 units | 899,494 | ||||||||
Federal National Mortgage Association 5.25% Due 8/1/2012 |
Government Bonds 840,000 units | 897,371 | ||||||||
United States Treasury Bonds Inflation Index 2.5% Due 1/15/2029 |
Index Linked Government Bonds 720,000 units | 832,204 | ||||||||
Fannie Mae Notes 4.625% Due 5/1/2013 |
Government Bonds 730,000 units | 784,767 | ||||||||
Fannie Mae Preassign 00015 5.9% Due 7/25/2042 |
Government Mortgage Backed Securities 708,906 units | 781,126 | ||||||||
Fannie Mae Capital 0% Due 10/09/2019 |
Government Bonds 1,210,000 units | 764,022 | ||||||||
Fannie Mae 0% Due 7/05/2014 |
Government Bonds 800,000 units | 746,562 | ||||||||
Federal Home Loan Mortgage Corporation Series 2072 6.5% Due 7/15/2028 |
Government Mortgage Backed Securities 615,645 units | 707,031 | ||||||||
Ginnie Mae 5.5% Due 6/20/2035 |
Government Mortgage Backed Securities 650,000 units | 699,734 | ||||||||
Fannie Mae Pool #AD0329 6.5% Due 9/01/2028 |
Government Mortgage Backed Securities 558,931 units | 621,484 | ||||||||
Federal Home Loan Mortgage Corporation Series 2173 6.5% Due 7/15/2029 |
Government Mortgage Backed Securities 519,094 units | 596,147 |
19
Identity of Issue | Description of Investment | Current Value | ||||||||
Fannie Mae Pool #333873 7% Due 11/01/2025 |
Government Mortgage Backed Securities 525,892 units | 595,461 | ||||||||
National Credit Union Association Guaranteed Notes Trust 2010-R3 Due 12/06/2020 |
Government Mortgage Backed Securities 580,000 units | 579,275 | ||||||||
Federal Home Loan Mortgage Corporation Pool 5.5% Due 1/1/2038 |
Government Mortgage Backed Securities 538,887 units | 574,947 | ||||||||
Ginnie Mae 6% Due 11/16/2032 |
Government Mortgage Backed Securities 517,000 units | 573,383 | ||||||||
Fannie Mae Pool 6.0% Due 7/1/2037 |
Government Mortgage Backed Securities 512,637 units | 561,999 | ||||||||
Federal Home Loan Mortgage Corporation Series 2461 6.5% Due 6/15/2032 |
Government Mortgage Backed Securities 495,562 units | 550,967 | ||||||||
Fannie Mae Pool #995149 6.5% Due 10/01/2038 |
Government Mortgage Backed Securities 488,214 units | 544,378 | ||||||||
Fannie Mae Remic Series 2008-75 4.5% Due 9/25/2023 |
Government Mortgage Backed Securities 500,000 units | 535,710 | ||||||||
First Franklin Mortgage Loan Trust Series 2005-FF9 Floating Rate Due 10/25/2035 |
Asset Backed Securities 541,202 units | 529,192 | ||||||||
Federal Home Loan Mortgage Corporation Pool 5.5% Due 11/1/2037 |
Government Mortgage Backed Securities 487,121 units | 520,630 | ||||||||
Fannie Mae Remic Due 4/25/2037 |
Government Mortgage Backed Securities 467,028 units | 514,606 | ||||||||
United States Treasury Notes 3% Due 2/28/17 |
Government Bonds 490,000 units | 505,313 | ||||||||
Fannie Mae Pool #256601 6% Due 2/01/2027 |
Government Mortgage Backed Securities 460,558 units | 500,875 | ||||||||
Federal Home Loan Mortgage Corporation Pool #A57681 6% Due 12/01/2036 |
Government Mortgage Backed Securities 452,535 units | 491,817 | ||||||||
Fannie Mae Pool #256556 6% Due 1/01/2027 |
Government Mortgage Backed Securities 451,918 units | 491,479 | ||||||||
Ginnie Mae 2004-30 5.5% Due 2/20/2034 |
Government Mortgage Backed Securities 440,000 units | 486,143 | ||||||||
Federal Home Loan Mortgage Corporation Pool #G12728 6% Due 7/01/2022 |
Government Mortgage Backed Securities 441,200 units | 480,977 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00162 5.5% Due 9/15/2033 |
Government Mortgage Backed Securities 440,000 units | 478,859 | ||||||||
Wachovia Corporation 5.75% Due 2/01/2018 |
Corporate Bonds 420,000 units | 466,327 | ||||||||
Fannie Mae Pool #735070 6.5% Due 10/01/2024 |
Government Mortgage Backed Securities 417,047 units | 461,189 | ||||||||
AT&T Inc. 5.6% Due 5/15/2018 |
Corporate Bonds 410,000 units | 457,455 | ||||||||
Fannie Mae Series 2004-W12 6% Due 7/25/2044 |
Government Mortgage Backed Securities 413,915 units | 456,082 | ||||||||
Fannie Mae Remic Trust 2009-108 5% Due 9/25/2039 |
Government Mortgage Backed Securities 422,918 units | 455,578 | ||||||||
Fannie Mae Pool #889213 5.5% Due 10/01/2020 |
Government Mortgage Backed Securities 415,188 units | 447,949 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00130 6.5% Due 2/25/2043 |
Government Mortgage Backed Securities 388,093 units | 445,701 | ||||||||
United States Treasury Notes 3.625% Due 8/15/2019 |
Government Bonds 420,000 units | 438,769 | ||||||||
Federal Home Loan Mortgage Corporation Pool #K00035 6.5% Due 5/01/2037 |
Government Mortgage Backed Securities 386,671 units | 426,925 | ||||||||
LB-UBS Commercial Mortgage Trust Due 9/15/2030 |
Commercial Mortgage Backed Securities 400,000 units | 426,644 |
20
Identity of Issue | Description of Investment | Current Value | ||||||||
Fannie Mae Series 2010-111 Class AE 5.5% Due 4/25/2038 |
Government Mortgage Backed Securities 393,935 units | 423,791 | ||||||||
General Electric Capital Corporation 2.25% Due 11/19/2015 |
Corporate Bonds 439,000 units | 422,035 | ||||||||
United States Treasury 0% Due 2/15/2030 |
Government Bonds 1,000,000 units | 418,105 | ||||||||
Fannie Mae Pool #890268 6.5% Due 10/01/2038 |
Government Mortgage Backed Securities 374,726 units | 417,835 | ||||||||
Ginnie Mae Pool #711067 5% Due 1/15/2040 |
Government Mortgage Backed Securities 387,092 units | 414,508 | ||||||||
Ginnie Mae Pool #711068 5% Due 1/15/2040 |
Government Mortgage Backed Securities 385,519 units | 412,824 | ||||||||
Fannie Mae Pool 5.0% Due 6/1/2035 |
Government Mortgage Backed Securities 389,248 units | 411,202 | ||||||||
Fannie Mae 2010-19 5% Due 2/25/2021 |
Government Mortgage Backed Securities 376,545 units | 407,252 | ||||||||
Federal Home Loan Mortgage Corporation Series 3406 6% Due 1/15/2038 |
Government Mortgage Backed Securities 370,000 units | 407,231 | ||||||||
Fannie Mae Preassign 00890 7% Due 11/25/2031 |
Government Mortgage Backed Securities 336,934 units | 397,161 | ||||||||
Federal Home Loan Mortgage Corporation 6.15% Due 4/15/2028 |
Government Mortgage Backed Securities 380,000 units | 394,717 | ||||||||
CWMBS Inc. Pass-Through 5.25% Due 5/25/2034 |
Collateralized Mortgage Obligations 380,335 units | 393,007 | ||||||||
Federal Home Loan Mortgage Corporation Series 2901 4.5% Due 12/15/2019 |
Government Mortgage Backed Securities 380,000 units | 392,233 | ||||||||
Fannie Mae Remic Trust 2001-16 6% Due 5/25/2031 |
Government Mortgage Backed Securities 353,301 units | 389,065 | ||||||||
Anadarko Petroleum Corporation 6.45% Due 9/15/2036 |
Corporate Bonds 380,000 units | 379,008 | ||||||||
Fannie Mae 1993-215 6.5% Due 7/15/2014 |
Government Mortgage Backed Securities 340,643 units | 378,126 | ||||||||
Ginnie Mae Pool #782933 6.5% Due 10/15/2023 |
Government Mortgage Backed Securities 339,006 units | 375,858 | ||||||||
Fannie Mae Pool #AA8502 6% Due 8/01/2037 |
Government Mortgage Backed Securities 339,439 units | 373,927 | ||||||||
Fannie Mae Preassign 00166 6.5% Due 8/25/2036 |
Government Mortgage Backed Securities 330,000 units | 373,009 | ||||||||
Federal Home Loan Mortgage Corporation Series 3181 6.5% Due 7/15/2036 |
Government Mortgage Backed Securities 332,876 units | 371,141 | ||||||||
Banc America Mortgage Securities Inc. Series 2003-3 5.5% Due 5/25/2033* |
Collateralized Mortgage Obligations 360,000 units | 366,885 | ||||||||
Fannie Mae Preassign 00611 5.5% Due 4/25/2033 |
Government Mortgage Backed Securities 336,603 units | 362,995 | ||||||||
Freddie Mac Series 2078 6.5% Due 8/15/2028 |
Government Mortgage Backed Securities 323,545 units | 361,306 | ||||||||
Federal Home Loan Mortgage Corporation Pool #A52195 7% Due 9/01/2036 |
Government Mortgage Backed Securities 313,293 units | 357,683 | ||||||||
CWMBS Inc. 5.25% Due 5/25/2034 |
Collateralized Mortgage Obligations 341,138 units | 354,576 | ||||||||
Ginnie Mae 5.5% Due 11/20/2033 |
Government Mortgage Backed Securities 325,000 units | 352,010 | ||||||||
Fannie Mae Pool #745735 5% Due 3/01/2021 |
Government Mortgage Backed Securities 327,745 units | 351,557 | ||||||||
Fannie Mae Remic Trust 2002 7% Due 12/25/2041 |
Government Mortgage Backed Securities 306,303 units | 351,252 |
21
Identity of Issue | Description of Investment | Current Value | ||||||||
Fannie Mae Remic Series 2004-68 5% Due 9/25/2029 |
Government Mortgage Backed Securities 330,000 units | 350,416 | ||||||||
Federal Home Loan Mortgage Corporation Series 1680 6.5% Due 2/15/2024 |
Government Mortgage Backed Securities 307,791 units | 350,010 | ||||||||
Citigroup Mortgage Securities Inc. 2004-4 Remic 5.5% Due 6/25/2034 |
Collateralized Mortgage Obligations 335,531 units | 349,254 | ||||||||
Fannie Mae Pool #735439 6% Due 9/01/2019 |
Government Mortgage Backed Securities 320,455 units | 348,846 | ||||||||
Ginnie Mae Pool #556303 4.5% Due 12/15/2016 |
Government Mortgage Backed Securities 327,595 units | 348,317 | ||||||||
Federal Home Loan Mortgage Corporation Series 1503 7% Due 5/15/2023 |
Government Mortgage Backed Securities 343,540 units | 348,162 | ||||||||
Federal Home Loan Mortgage Corporation Pool #A79090 6.5% Due 7/01/2034 |
Government Mortgage Backed Securities 307,810 units | 346,106 | ||||||||
Federal Home Loan Mortgage Corporation Due 7/15/2027 |
Government Mortgage Backed Securities 296,309 units | 344,588 | ||||||||
Morgan Stanley Mortgage Loan Trust 2004-2AR 5% Due 9/25/2034 |
Collateralized Mortgage Obligations 333,005 units | 343,724 | ||||||||
Federal Home Loan Mortgage Corporation Pool #P20410 5.5% Due 10/01/2033 |
Government Mortgage Backed Securities 321,162 units | 342,853 | ||||||||
Banc America Mortgage Trust 2006 5 5.41% Due 9/10/2047* |
Commercial Mortgage Backed Securities 325,000 units | 340,142 | ||||||||
Federal Home Loan Mortgage Corporation Series 2003-T57 7% Due 7/25/2043 |
Government Mortgage Backed Securities 294,180 units | 337,760 | ||||||||
Fannie Mae Pool #AD0471 5.5% Due 1/01/2024 |
Government Mortgage Backed Securities 311,707 units | 335,523 | ||||||||
Washington Mutual Mortgage 5.5% Due 4/25/2033 |
Collateralized Mortgage Obligations 325,000 units | 333,827 | ||||||||
Federal Home Loan Mortgage Corporation Pool #G04467 6% Due 9/01/2035 |
Government Mortgage Backed Securities 302,773 units | 332,745 | ||||||||
Banc America Mortgage Securities Inc. 5% Due 6/25/2019* |
Collateralized Mortgage Obligations 317,674 units | 330,359 | ||||||||
Freddie Mac Series 2797 4% Due 6/15/2032 |
Government Mortgage Backed Securities 313,195 units | 328,813 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00213 5% Due 7/15/2032 |
Government Mortgage Backed Securities 308,000 units | 328,330 | ||||||||
Federal Home Loan Mortgage Corporation 6% Due 7/15/2037 |
Government Mortgage Backed Securities 300,000 units | 327,144 | ||||||||
Fannie Mae Pool #AD0584 7% Due 1/01/2039 |
Government Mortgage Backed Securities 288,488 units | 326,879 | ||||||||
Fannie Mae Pool #941028 6.5% Due 7/01/2038 |
Government Mortgage Backed Securities 292,683 units | 325,530 | ||||||||
Federal Home Loan Mortgage Corporation Series 2843 5% Due 8/15/2019 |
Government Mortgage Backed Securities 298,000 units | 323,112 | ||||||||
Citigroup Inc. 8.5% Due 5/22/2019 |
Corporate Bonds 260,000 units | 322,773 | ||||||||
Federal Home Loan Mortgage Corporation Series 2864 5.5% Due 7/15/2033 |
Government Mortgage Backed Securities 290,000 units | 319,953 | ||||||||
General Electric Capital Corporation Notes 5.625% Due 5/01/2018 |
Corporate Bonds 290,000 units | 316,249 | ||||||||
Telefonica 6.221% Due 7/03/2017 |
Corporate Bonds 290,000 units | 311,874 | ||||||||
Federal Home Loan Mortgage Corporation Series 3383 5.5% Due 11/15/2027 |
Government Mortgage Backed Securities 285,000 units | 310,628 | ||||||||
GMAC Mortgage Loan Trust 2003-J10 4.75% Due 1/25/2019 |
Collateralized Mortgage Obligations 299,546 units | 307,286 |
22
Identity of Issue | Description of Investment | Current Value | ||||||||
Conoco Inc. 6.95% Due 4/15/2029 |
Corporate Bonds 250,000 units | 307,248 | ||||||||
Wachovia Corporation 5.625% Due 10/15/2016 |
Corporate Bonds 280,000 units | 304,596 | ||||||||
Fannie Mae Pool #7335503 6% Due 4/01/2035 |
Government Mortgage Backed Securities 276,308 units | 304,382 | ||||||||
Federal Home Loan Mortgage Corporation Series 2479 6% Due 8/15/2032 |
Government Mortgage Backed Securities 275,928 units | 301,717 | ||||||||
Ginnie Mae Pool #603459 6% Due 1/15/2018 |
Government Mortgage Backed Securities 273,865 units | 298,769 | ||||||||
Federal Home Loan Mortgage Corporation Pool #B3-1407 5% Due 7/01/2033 |
Government Mortgage Backed Securities 289,753 units | 297,349 | ||||||||
Fannie Mae Remic Trust Pass-Through Variable Rate Due 1/25/2040 |
Government Mortgage Backed Securities 2,552,233 units | 295,891 | ||||||||
Resolution FDG Corporation Federal Generic Principle Payment Due 10/15/2019 |
Government Bonds 400,000 units | 294,750 | ||||||||
Goldman Sachs Group Inc. 5.375% Due 3/15/2020 |
Corporate Bonds 280,000 units | 289,341 | ||||||||
Wachovia Bank National Association 6% Due 11/15/2017 |
Corporate Bonds 260,000 units | 288,461 | ||||||||
Fannie Mae Remic Trust 2008-91 Floating Rate Due 3/25/2038 |
Government Mortgage Backed Securities 2,665,554 units | 287,070 | ||||||||
Master Asset Security Trust 5.25% Due 7/25/2019 |
Collateralized Mortgage Obligations 281,217 units | 285,615 | ||||||||
JP Morgan Mortgage Trust Series 2004-S1 5.5% Due 9/25/2034 |
Collateralized Mortgage Obligations 275,547 units | 284,094 | ||||||||
Freddie Mac Series 3605 5.5% Due 6/15/2037 |
Government Mortgage Backed Securities 265,000 units | 283,624 | ||||||||
Master Alternative Loan Trust Pass-Through |
Collateralized Mortgage Obligations 282,439 units | 282,589 | ||||||||
CVS Caremark Corporation 6.6% Due 3/15/2019 |
Corporate Bonds 240,000 units | 281,009 | ||||||||
Residential Accredited Loans Inc. Pass-Through Series 2003QS7 4.75% Due 4/25/2033 |
Collateralized Mortgage Obligations 278,127 units | 280,633 | ||||||||
CWMBS Inc. 4% Due 8/25/2033 |
Collateralized Mortgage Obligations 282,496 units | 280,279 | ||||||||
Wells Fargo Mortgage Backed Securities 2004-EE Trust Variable Rate Due 12/25/2034 |
Collateralized Mortgage Obligations 286,103 units | 279,104 | ||||||||
Bayview Commercial Asset Trust Variable Rate Due 11/25/2035 |
Commercial Mortgage Backed Securities 333,814 units | 276,736 | ||||||||
Comcast Corporation 6.5% Due 1/15/2017 |
Corporate Bonds 240,000 units | 276,665 | ||||||||
Wells Fargo Mortgage Backed Securities Due 9/25/2034 |
Collateralized Mortgage Obligations 278,593 units | 276,155 | ||||||||
Federal Home Loan Mortgage Corporation Series 2885 6% Due 11/15/2034 |
Government Mortgage Backed Securities 259,057 units | 275,402 | ||||||||
Verizon Communications Inc. 5.5% Due 2/15/2018 |
Corporate Bonds 250,000 units | 274,736 | ||||||||
Federal Home Loan Mortgage Corporation Series 2347 5.75% Due 8/15/2031 |
Government Mortgage Backed Securities 249,487 units | 274,194 | ||||||||
Merrill Lynch & Company Inc. 6.875% Due 4/25/2018* |
Corporate Bonds 250,000 units | 273,590 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00121 0% Due 7/15/2036 |
Government Mortgage Backed Securities 301,603 units | 273,494 | ||||||||
Washington Mutual Mortgage Pass-Through 2.67% Due 8/25/2033 |
Collateralized Mortgage Obligations 275,299 units | 272,292 | ||||||||
Banc of America Alternative Loan Trust 5 5% Due 7/25/2018* |
Collateralized Mortgage Obligations 264,876 units | 272,196 | ||||||||
Federal Home Loan Mortgage Corporation Due 3/15/2018 |
Government Mortgage Backed Securities 250,000 units | 270,393 |
23
Identity of Issue | Description of Investment | Current Value | ||||||||
Federal Home Loan Mortgage Corporation Series 2672 5% Due 11/15/2022 |
Government Mortgage Backed Securities 250,000 units | 268,726 | ||||||||
UBS AG Stamford Branch 3.875% Due 1/15/2015 |
Corporate Bonds 260,000 units | 267,962 | ||||||||
Ginnie Mae 2007-024 Remic Pass-Through Due 5/20/2037 |
Government Mortgage Backed Securities 2,231,994 units | 265,677 | ||||||||
Transocean Inc. 5.25% Due 3/15/2013 |
Corporate Bonds 250,000 units | 263,567 | ||||||||
Bank America Corporation 4.875% Due 9/15/2012* |
Corporate Bonds 250,000 units | 261,034 | ||||||||
Thornburg Mortgage Securities Trust 2004-3 Pass-Through Floating Rate Due 11/30/2044 |
Collateralized Mortgage Obligations 274,953 units | 260,963 | ||||||||
Fannie Mae Pool #888281 6% Due 4/01/2027 |
Government Mortgage Backed Securities 239,951 units | 260,956 | ||||||||
Fannie Mae Pool #576557 6.5% Due 6/01/2019 |
Government Mortgage Backed Securities 237,315 units | 260,535 | ||||||||
American Express Credit 5.125% Due 8/25/2014 |
Corporate Bonds 240,000 units | 258,764 | ||||||||
Structured Asset Securities Corporation 2003-26A Pass-Through Due 9/25/2033 |
Collateralized Mortgage Obligations 309,685 units | 257,843 | ||||||||
Fannie Mae Pool #888890 6.5% Due 10/01/2037 |
Government Mortgage Backed Securities 231,181 units | 257,776 | ||||||||
Federal Home Loan Mortgage Corporation Series 2595 5.5% Due 4/15/2023 |
Government Mortgage Backed Securities 235,000 units | 257,638 | ||||||||
Structured Asset Securities Corporation 2003-BC10 Pass-Through Due 10/25/2033 |
Asset Backed Securities 300,000 units | 256,928 | ||||||||
Ginnie Mae 6% Due 12/20/2039 |
Government Mortgage Backed Securities 234,913 units | 255,242 | ||||||||
United States Treasury Notes 1.375% Due 2/15/2013 |
Government Bonds 250,000 units | 253,770 | ||||||||
Ginnie Mae 6% Due 8/20/2038 |
Government Mortgage Backed Securities 231,000 units | 252,405 | ||||||||
Citigroup Mortgage Loan Trust 2008-AR4 Remic Pass-Through Due 11/25/2038 |
Collateralized Mortgage Obligations 246,314 units | 249,733 | ||||||||
Fannie Mae Pool #889665 6% Due 8/01/2037 |
Government Mortgage Backed Securities 227,789 units | 248,300 | ||||||||
Ginnie Mae Pool #004318 7% Due 12/20/2038 |
Government Mortgage Backed Securities 223,725 units | 248,173 | ||||||||
Fannie Mae Preassign 00491 5% Due 2/25/2018 |
Government Mortgage Backed Securities 230,000 units | 247,994 | ||||||||
Fannie Mae 1999-54 6.5% Due 11/25/2029 |
Government Mortgage Backed Securities 222,527 units | 244,943 | ||||||||
Occidental Petroleum Corporation 7% Due 11/01/2013 |
Corporate Bonds 210,000 units | 242,807 | ||||||||
Federal Home Loan Mortgage Corporation Pool #E90573 6% Due 7/01/2017 |
Government Mortgage Backed Securities 222,830 units | 242,686 | ||||||||
Wells Fargo Mortgage Backed Securities 2003-F Variable Rate Due 6/25/2033 |
Collateralized Mortgage Obligations 235,061 units | 241,300 | ||||||||
Fannie Mae Pool #351397 7% Due 3/01/2026 |
Government Mortgage Backed Securities 212,124 units | 239,816 | ||||||||
Fannie Mae Pool 5.5% Due 11/1/2036 |
Government Mortgage Backed Securities 223,533 units | 239,689 | ||||||||
Wells Fargo Mortgage Backed Securities 2004-K Due 7/25/2034 |
Collateralized Mortgage Obligations 232,249 units | 238,918 | ||||||||
Master Alternative Loan Trust 2004-3 6.25% Due 4/25/2034 |
Collateralized Mortgage Obligations 228,348 units | 236,436 | ||||||||
Caterpillar Financial Services Corporation 6.2% Due 9/30/2013 |
Corporate Bonds 210,000 units | 235,764 | ||||||||
Federal Home Loan Mortgage Corporation Series 2649 5.5% Due 10/15/2022 |
Government Mortgage Backed Securities 215,000 units | 235,738 |
24
Identity of Issue | Description of Investment | Current Value | ||||||||
Residential FDG Mortgage Securities I Inc. 2003-S4 5.75% Due 3/25/2033 |
Collateralized Mortgage Obligations 224,436 units | 235,687 | ||||||||
Fannie Mae Pool #256928 6% Due 10/01/2027 |
Government Mortgage Backed Securities 214,894 units | 233,706 | ||||||||
Residential Accredited Loans Inc. Pass-Through 5% Due 3/25/2019 |
Collateralized Mortgage Obligations 224,279 units | 233,531 | ||||||||
Goldman Sachs Group Inc. 7.5% Due 2/15/2019 |
Corporate Bonds 200,000 units | 233,198 | ||||||||
JP Morgan Mortgage Trust Pass-Through Due 4/25/2035 |
Collateralized Mortgage Obligations 235,000 units | 233,039 | ||||||||
Citigroup Mortgage Loan Trust 2003-1 5.25% Due 9/25/2033 |
Collateralized Mortgage Obligations 220,565 units | 230,962 | ||||||||
Federal Home Loan Mortgage Corporation Series 2557 5.3% Due 1/15/2033 |
Government Mortgage Backed Securities 217,340 units | 230,056 | ||||||||
Fannie Mae 0% Due 12/01/2024 |
Government Mortgage Backed Securities 270,248 units | 229,784 | ||||||||
John Deere Capital Corporation Notes 4.9% Due 9/09/2013 |
Corporate Bonds 210,000 units | 228,973 | ||||||||
BB&T Corporation 3.85% Due 7/27/2012 |
Corporate Bonds 220,000 units | 228,863 | ||||||||
Credit Agricole SA 8.375% Floating Rate Due 8/15/2029 |
Corporate Bonds 220,000 units | 226,050 | ||||||||
Kraft Foods Inc. 5.375% Due 2/10/2020 |
Corporate Bonds 210,000 units | 226,016 | ||||||||
Federal Home Loan Mortgage Corporation Series 2684 0% Due 1/15/2033 |
Government Mortgage Backed Securities 250,000 units | 224,599 | ||||||||
Federal Home Loan Mortgage Corporation Pool #E0227 6% Due 11/01/2021 |
Government Mortgage Backed Securities 204,005 units | 223,927 | ||||||||
Sequoia Mortgage Trust Floating Rate Due 11/20/2034 |
Collateralized Mortgage Obligations 240,971 units | 223,908 | ||||||||
Fannie Mae 2001-T10 Pass-Through 7% Due 12/25/2041 |
Government Mortgage Backed Securities 194,291 units | 223,192 | ||||||||
Ginnie Mae 2010-014 0% Due 3/20/2036 |
Government Mortgage Backed Securities 236,316 units | 223,089 | ||||||||
General Electric Capital Corporation 6% Due 8/07/2019 |
Corporate Bonds 200,000 units | 222,518 | ||||||||
Ginnie Mae 2008-047 Remic 5.25% Due 6/16/2038 |
Government Mortgage Backed Securities 215,000 units | 222,395 | ||||||||
Federal Home Loan Mortgage Corporation Series 2669 5.5% Due 8/15/2033 |
Government Mortgage Backed Securities 216,000 units | 221,034 | ||||||||
Morgan Stanley Dean Witter Capital I Trust 2003-HYB1 Variable Rate Due 2/25/2033 |
Collateralized Mortgage Obligations 230,297 units | 220,698 | ||||||||
Fannie Mae Pool #AE0081 6% Due 7/01/2024 |
Government Mortgage Backed Securities 201,995 units | 220,017 | ||||||||
Federal Home Loan Mortgage Corporation Pool 5.891% Due 8/1/2037 |
Government Mortgage Backed Securities 206,957 units | 219,610 | ||||||||
Ginnie Mae Pool #699238 6.5% Due 9/15/2023 |
Government Mortgage Backed Securities 198,809 units | 217,417 | ||||||||
Morgan Stanley Notes 6.625% Due 4/01/2018 |
Corporate Bonds 200,000 units | 216,954 | ||||||||
Fannie Mae Trust 2004 7% Due 2/25/2044 |
Government Mortgage Backed Securities 183,966 units | 216,850 | ||||||||
Fannie Mae Remic Series 2004-101 5% Due 1/25/2020 |
Government Mortgage Backed Securities 200,000 units | 216,337 | ||||||||
Ginnie Mae 2006-26 Remic 0% Due 6/20/2036 |
Government Mortgage Backed Securities 249,508 units | 216,119 | ||||||||
Banc America Commercial Mortgage Inc. 2005-3 Pass-Through 4.727% Due 7/10/2043* |
Commercial Mortgage Backed Securities 220,000 units | 216,055 | ||||||||
Fannie Mae Pool #888366 7% Due 4/01/2037 |
Government Mortgage Backed Securities 189,658 units | 214,779 |
25
Identity of Issue | Description of Investment | Current Value | ||||||||
Fannie Mae Remic Trust 2005-50 Due 6/25/2025 |
Government Mortgage Backed Securities 200,000 units | 214,188 | ||||||||
Banc America Mortgage Securities Inc. 2004-3 Pass-Through 5.5% Due 4/25/2034* |
Collateralized Mortgage Obligations 210,000 units | 214,168 | ||||||||
Fannie Mae Remic Trust 2003-84 5% Due 3/25/2032 |
Government Mortgage Backed Securities 200,000 units | 213,307 | ||||||||
Ginnie Mae 2010-001 Remic Pass-Through Due 8/16/2039 |
Government Mortgage Backed Securities 1,710,134 units | 212,821 | ||||||||
Federal Home Loan Mortgage Corporation Series 1078 6.5% Due 5/15/2021 |
Government Mortgage Backed Securities 190,095 units | 210,860 | ||||||||
Banc America Mortgage Securities Inc. Series 2003-8 4.5% Due 10/25/2033* |
Collateralized Mortgage Obligations 206,145 units | 210,514 | ||||||||
Citigroup Inc. 6.01% Due 1/15/2015 |
Corporate Bonds 190,000 units | 208,435 | ||||||||
Fannie Mae Remic Series 2007-116 5.5% Due 8/25/2035 |
Government Mortgage Backed Securities 190,000 units | 208,272 | ||||||||
General Electric Capital Corporation 5.875% Due 1/14/2038 |
Corporate Bonds 200,000 units | 207,610 | ||||||||
United States Treasury Bonds 4.24% Due 5/15/2039 |
Government Bonds 210,000 units | 206,883 | ||||||||
Fannie Mae Remic Trust 2010-49 Variable Rate Due 3/25/2040 |
Government Mortgage Backed Securities 185,736 units | 206,358 | ||||||||
Federal Home Loan Mortgage Corporation 6% Due 6/15/2033 |
Government Mortgage Backed Securities 190,000 units | 206,245 | ||||||||
Federal Home Loan Mortgage Corporation Series 3253 Due 12/15/2021 |
Government Mortgage Backed Securities 218,159 units | 202,779 | ||||||||
Simon Property Group Inc. 6.125% Due 5/30/2018 |
Corporate Bonds 180,000 units | 202,310 | ||||||||
Toronto Dominion Bank 2.2% Due 7/29/2015 |
Corporate Bonds 205,000 units | 201,654 | ||||||||
Fannie Mae 6.5% Due 2/25/2047 |
Government Mortgage Backed Securities 182,454 units | 201,140 | ||||||||
British Telecommunications PLC Notes Stepup 12/15/2030 |
Corporate Bonds 150,000 units | 199,925 | ||||||||
Devon Energy Corporation 7.95% Due 4/15/2032 |
Corporate Bonds 150,000 units | 199,170 | ||||||||
Pfizer Inc. Note 6.2% Due 3/15/2019 |
Corporate Bonds 170,000 units | 199,131 | ||||||||
Fannie Mae Remic Series 2007-35 5% Due 9/25/2033 |
Government Mortgage Backed Securities 187,841 units | 198,865 | ||||||||
Fannie Mae Remic Pass-Through Trust 2009-112 Floating Rate Due 1/25/2040 |
Government Mortgage Backed Securities 1,678,496 units | 195,659 | ||||||||
United States Treasury Notes 4% Due 8/15/2018 |
Government Bonds 180,000 units | 195,061 | ||||||||
Structured Asset Securities Corporation Series 2004-6XS Due 3/25/2034 |
Asset Backed Securities 203,100 units | 194,558 | ||||||||
Prime Mortgage Trust 2004-2 Pass-Through 4.75% Due 11/25/2019 |
Collateralized Mortgage Obligations 190,359 units | 194,552 | ||||||||
Wells Fargo Mortgage Backed Securities 2004-BB Trust Due 1/25/2035 |
Collateralized Mortgage Obligations 194,013 units | 192,042 | ||||||||
JP Morgan Remic Series 2010-4 Variable Rate Due 8/26/2035 |
Collateralized Mortgage Obligations 192,750 units | 191,978 | ||||||||
Banc America Mortgage Securities 2004-C 3.73055% Due 4/25/2034* |
Collateralized Mortgage Obligations 196,171 units | 190,123 | ||||||||
Federal Home Loan Mortgage Corporation Pool #G30290 6.5% Due 3/01/2026 |
Government Mortgage Backed Securities 171,707 units | 190,107 | ||||||||
Fannie Mae Pool #888601 5.5% Due 6/01/2020 |
Government Mortgage Backed Securities 175,590 units | 189,336 | ||||||||
Ginnie Mae 2008-091 Remic Pass-Through Due 11/20/2038 |
Government Mortgage Backed Securities 1,438,593 units | 189,047 | ||||||||
Banc America Alternative Loan Trust 6 5% Due 7/25/2019* |
Collateralized Mortgage Obligations 186,134 units | 188,250 |
26
Identity of Issue | Description of Investment | Current Value | ||||||||
Federal Home Loan Mortgage Corporation Series 2656 5% Due 10/15/2032 |
Government Mortgage Backed Securities 175,000 units | 187,969 | ||||||||
Federal Home Loan Mortgage Corporation Series 3688 Variable Rate Due 11/15/2046 |
Government Mortgage Backed Securities 169,050 units | 187,338 | ||||||||
Deutsche Telekom International 5.75% Due 3/23/2016 |
Corporate Bonds 165,000 units | 184,798 | ||||||||
Ginnie Mae 6.5% Due 6/2/2032 |
Government Mortgage Backed Securities 163,851 units | 184,176 | ||||||||
Bank of America Corporation 5.65% Due 5/01/2018* |
Corporate Bonds 180,000 units | 183,919 | ||||||||
Fannie Mae Remic Series 2006-3 Floating Rate Due 11/25/2035 |
Government Mortgage Backed Securities 176,925 units | 183,770 | ||||||||
Federal Home Loan Mortgage Corporation Adjustable Rate Due 5/1/2037 |
Government Mortgage Backed Securities 172,779 units | 182,816 | ||||||||
Fannie Mae Pool #550382 6.45% Due 7/1/2030 |
Government Mortgage Backed Securities 161,697 units | 182,640 | ||||||||
United States Treasury SEC Stripped Interest Payments Due 11/15/2029 |
Government Bonds 430,000 units | 182,015 | ||||||||
Federal Home Loan Mortgage Corporation Pool #G12988 6% Due 1/01/2023 |
Government Mortgage Backed Securities 166,943 units | 181,994 | ||||||||
Federal Home Loan Mortgage Corporation Series 2046 6.5% Due 4/15/2028 |
Government Mortgage Backed Securities 167,878 units | 179,512 | ||||||||
FirstEnergy Corporation 7.375% Due 11/15/31 |
Corporate Bonds 170,000 units | 179,208 | ||||||||
Shell International Finance 4.375% Due 3/25/2020 |
Corporate Bonds 170,000 units | 178,306 | ||||||||
Federal Home Loan Mortgage Corporation Series 2058 6.5% Due 5/15/2028 |
Government Mortgage Backed Securities 168,283 units | 178,090 | ||||||||
Fannie Mae Pool #767867 5.5% Due 3/01/2033 |
Government Mortgage Backed Securities 164,808 units | 177,441 | ||||||||
Cobalt CMBS Commercial Mortgage Trust 2006-C1 Pass-Through 5.186% Due 8/01/48 |
Commercial Mortgage Backed Securities 170,000 units | 176,951 | ||||||||
Banc America Commercial Mortgage Trust 2006-3 Due 7/10/2044* |
Commercial Mortgage Backed Securities 165,000 units | 176,233 | ||||||||
Oncor Electric Delivery Company 6.8% Due 9/1/2018 |
Corporate Bonds 150,000 units | 175,586 | ||||||||
Baker Hughes Inc. 7.5% Due 11/15/2018 |
Corporate Bonds 140,000 units | 175,552 | ||||||||
Fannie Mae Remic Series 1997-57 5% Due 9/18/2027 |
Government Mortgage Backed Securities 165,816 units | 174,314 | ||||||||
Centex Home Equity 4.68% Due 6/25/2032 |
Asset Backed Securities 175,000 units | 173,143 | ||||||||
Barclays Bank 5.2% Due 7/10/2014 |
Corporate Bonds 160,000 units | 172,813 | ||||||||
Fannie Mae Remic Trust 2001-81 6.5% Due 1/25/2032 |
Government Mortgage Backed Securities 154,316 units | 172,051 | ||||||||
GlaxoSmithKline 5.65% Due 5/15/2018 |
Corporate Bonds 150,000 units | 171,514 | ||||||||
Federal Home Loan Mortgage Corporation Series 3201 Floating Rate Due 8/15/2036
|
Government Mortgage Backed Securities 1,219,327 units | 171,259 | ||||||||
Fannie Mae Series 390 Variable Rate Due 6/25/2038 |
Government Mortgage Backed Securities 1,219,196 units | 170,659 | ||||||||
Fannie Mae 2001-82 6.5% Due 1/25/2032 |
Government Mortgage Backed Securities 152,479 units | 170,104 | ||||||||
Residential Accredited Loans Inc. Pass-Through Series 2004-QS7 5.5% Due 5/25/2034 |
Collateralized Mortgage Obligations 215,264 units | 169,796 | ||||||||
Sequoia Mortgage Trust Variable Rate Due 9/20/2034 |
Collateralized Mortgage Obligations 186,706 units | 169,040 | ||||||||
Ginnie Mae Remic Series 2008-40 Due 5/16/2038 |
Government Mortgage Backed Securities 1,123,633 units | 168,409 | ||||||||
Wellpoint Inc. 5.875% Due 6/15/2017 |
Corporate Bonds 150,000 units | 167,670 |
27
Identity of Issue | Description of Investment | Current Value | ||||||||
Fannie Mae Preassign 00277 5.5% Due 2/25/2033 |
Government Mortgage Backed Securities 155,000 units | 166,823 | ||||||||
Bank of America Auto Trust 1.31% Due 7/15/2014* |
Asset Backed Securities 165,000 units | 166,290 | ||||||||
General Electric Capital Corporation 5.9% Due 5/13/2014 |
Corporate Bonds 150,000 units | 166,014 | ||||||||
Indymac Mortgage Backed Securities Inc. 4.75% Due 2/25/2019 |
Asset Backed Securities 160,997 units | 165,675 | ||||||||
Fannie Mae Pool #889213 6% Due 4/01/2034 |
Government Mortgage Backed Securities 153,862 units | 165,513 | ||||||||
Fannie Mae Remic Trust 2001-38 Principal Only Due 8/25/2031 |
Government Mortgage Backed Securities 188,815 units | 165,462 | ||||||||
Berkshire Hathaway Inc. 3.2% Due 2/11/2015 |
Corporate Bonds 160,000 units | 165,101 | ||||||||
Pacific Gas & Electric Company 6.05% Due 3/01/2034 |
Corporate Bonds 150,000 units | 164,235 | ||||||||
Fannie Mae Pool #550389 6.45% Due 9/1/2030 |
Government Mortgage Backed Securities 145,216 units | 164,025 | ||||||||
Hertz Vehicle Financing LLC 5.29% Due 3/25/2016 |
Asset Backed Securities 150,000 units | 162,923 | ||||||||
Duke Energy Corporation 5.625% Due 11/30/2012 |
Corporate Bonds 150,000 units | 162,543 | ||||||||
Ginnie Mae 2009-106 Due 6/20/2037 |
Government Mortgage Backed Securities 1,224,599 units | 161,980 | ||||||||
Ginnie Mae Remic Series 2007-16 Floating Rate Due 4/20/2037 |
Government Mortgage Backed Securities 1,125,833 units | 160,612 | ||||||||
Wells Fargo Mortgage Backed Securities 2004-EE Trust Variable Rate Due 12/25/2034 |
Collateralized Mortgage Obligations 162,822 units | 159,957 | ||||||||
Federal Home Loan Mortgage Corporation Series 2934 Due 2/15/2020 |
Government Mortgage Backed Securities 175,946 units | 158,924 | ||||||||
Countrywide Financial Corporation Notes 5.8% Due 6/07/2012* |
Corporate Bonds 150,000 units | 157,815 | ||||||||
CitiFinancial Mortgage 5.348% Due 8/25/2033 |
Asset Backed Securities 160,999 units | 157,608 | ||||||||
United States Treasury Notes 3.25% Due 12/31/2016 |
Government Bonds 150,000 units | 157,125 | ||||||||
Federal Home Loan Mortgage Corporation Series 2994 5% Due 6/15/2035 |
Government Mortgage Backed Securities 149,000 units | 157,090 | ||||||||
Federal Home Loan Mortgage Corporation Pool #C9-0767 6% Due 12/01/2023 |
Government Mortgage Backed Securities 142,590 units | 156,728 | ||||||||
Morgan Stanley Notes 5.625% Due 1/9/2012 |
Corporate Bonds 150,000 units | 156,622 | ||||||||
Ginnie Mae Pool #534607 6.45% Due 8/15/2030 |
Government Mortgage Backed Securities 134,769 units | 152,587 | ||||||||
Ginnie Mae 5.5% Due 6/20/2038 |
Government Mortgage Backed Securities 142,000 units | 152,321 | ||||||||
Time Warner Cable Inc. 7.3% Due 7/1/2038 |
Corporate Bonds 130,000 units | 152,011 | ||||||||
Federal Home Loan Mortgage Corporation Pool #A72934 8% Due 2/01/2038 |
Government Mortgage Backed Securities 139,798 units | 151,416 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00603 Due 2/15/2020 |
Government Mortgage Backed Securities 1,090,863 units | 150,326 | ||||||||
UnitedHealth Group Inc. 4.875% Due 2/15/2013 |
Corporate Bonds 140,000 units | 149,050 | ||||||||
Fannie Mae Pool #745406 6% Due 3/01/2021 |
Government Mortgage Backed Securities 135,304 units | 147,587 | ||||||||
Fannie Mae Preassign 00472 7% Due 7/25/2042 |
Government Mortgage Backed Securities 124,484 units | 146,736 | ||||||||
Banc America Mortgage Securities Inc. 2004-11 5.75% Due 12/25/2024* |
Collateralized Mortgage Obligations 145,203 units | 146,317 | ||||||||
Nordea Bank 7% Due 11/13/2014 |
Corporate Bonds 140,000 units | 144,307 | ||||||||
Ginnie Mae Remic Series 2008-073 Due 8/20/2038 |
Government Mortgage Backed Securities 1,148,604 units | 143,909 | ||||||||
Verizon Communications Inc. 6.4% Due 2/15/2038 |
Corporate Bonds 130,000 units | 143,804 | ||||||||
Telecom Italia Capital 5.25% Due 10/01/2015 |
Corporate Bonds 140,000 units | 143,340 |
28
Identity of Issue | Description of Investment | Current Value | ||||||||
Ginnie Mae 2006-023 Remic Floating Rate Due 1/20/2036 |
Government Mortgage Backed Securities 1,245,481 units | 142,324 | ||||||||
Royal Bank of Scotland 6.4% Due 10/21/2019 |
Corporate Bonds 140,000 units | 140,889 | ||||||||
Ginnie Mae 2007-058 Remic Pass-Through Due 10/20/2037 |
Government Mortgage Backed Securities 1,210,518 units | 140,385 | ||||||||
Fortune Brands Inc. 5.125% Due 1/15/2011 |
Corporate Bonds 140,000 units | 140,136 | ||||||||
Federal Home Loan Mortgage Corporation Series 2648 Due 7/15/2033 |
Government Mortgage Backed Securities 144,783 units | 138,159 | ||||||||
Bayview Commercial Asset Trust Variable Rate Due 1/25/2036 |
Collateralized Mortgage Obligations 189,658 units | 136,836 | ||||||||
Ginnie Mae 2007-059 Remic Pass-Through Due 4/20/2037 |
Government Mortgage Backed Securities 1,117,079 units | 136,613 | ||||||||
Government National Mortgage Association 2008-050 Remic Pass-Through 6% Due 6/20/2038 |
Government Mortgage Backed Securities 123,000 units | 134,544 | ||||||||
Ginnie Mae Pool #614616 Series 2018 5.5% Due 7/15/2018 |
Government Mortgage Backed Securities 123,495 units | 133,838 | ||||||||
Fannie Mae Preassign 00506 Due 4/25/2017 |
Government Mortgage Backed Securities 123,171 units | 133,170 | ||||||||
Citigroup Inc. 6.875% Due 3/5/2038 |
Corporate Bonds 120,000 units | 133,109 | ||||||||
Ginnie Mae 2008-60 5.5% Due 7/16/2023 |
Government Mortgage Backed Securities 120,000 units | 132,852 | ||||||||
Fannie Mae Pool #254179 6% Due 1/01/2022 |
Government Mortgage Backed Securities 120,612 units | 132,640 | ||||||||
Equity One ABS Inc. 5.05% Due 9/25/2033 |
Asset Backed Securities 155,959 units | 132,105 | ||||||||
Fannie Mae Remic Trust 2004-70 Due 10/25/2024 |
Government Mortgage Backed Securities 125,000 units | 131,739 | ||||||||
Fannie Mae Remic Trust 1997-89 7% Due 12/20/2027 |
Government Mortgage Backed Securities 572,878 units | 131,257 | ||||||||
Federal Home Loan Mortgage Corporation Pool #M30285 5% Due 2/01/2018 |
Government Mortgage Backed Securities 124,782 units | 130,997 | ||||||||
BP Capital Markets PLC 5.25% Due 11/07/2013 |
Corporate Bonds 120,000 units | 129,962 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00890 Due 4/15/2036 |
Government Mortgage Backed Securities 146,374 units | 129,212 | ||||||||
Fannie Mae Remic Series 2003-47 5.75% Due 6/25/2033 |
Government Mortgage Backed Securities 119,000 units | 129,160 | ||||||||
Dominion Resources Inc. 5.7% Due 9/17/2012 |
Corporate Bonds 120,000 units | 129,125 | ||||||||
Federal Home Loan Mortgage Corporation Gold Pool 6.5% Due 4/01/2021 |
Government Mortgage Backed Securities 116,301 units | 128,764 | ||||||||
Merrill Lynch & Company Inc. 6.15% Due 4/25/2013* |
Corporate Bonds 120,000 units | 128,761 | ||||||||
GS Mortgage Securities Corporation 2005-RP2 Variable Rate Due 3/25/2035 |
Collateralized Mortgage Obligations 152,198 units | 127,889 | ||||||||
Ally Auto 1.55% Due 10/15/2014 |
Asset Backed Securities 129,000 units | 127,438 | ||||||||
Wachovia Commercial Mortgage Trust 2005-C21 5.203% Due 10/15/2044 |
Commercial Mortgage Backed Securities 120,000 units | 124,172 | ||||||||
Fannie Mae Remic Trust 2005-97 5.5% Due 11/25/2035 |
Government Mortgage Backed Securities 114,402 units | 124,108 | ||||||||
Federal Home Loan Mortgage Corporation Series 2684 0% Due 10/15/2033 |
Government Mortgage Backed Securities 131,984 units | 124,006 | ||||||||
Chase FDG Mortgage Loan 4.499% Due 8/25/2030 |
Asset Backed Securities 123,905 units | 122,952 | ||||||||
Ginnie Mae Floating 2004-86 Remic Pass-Through Due 9/20/2034 |
Government Mortgage Backed Securities 1,101,998 units | 121,839 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00055 1.375% Due 1/09/2013 |
Government Bonds 120,000 units | 121,541 |
29
Identity of Issue | Description of Investment | Current Value | ||||||||
DiamlerChrysler Note 5.875% Due 3/15/11 |
Corporate Bonds 120,000 units | 121,217 | ||||||||
Fannie Mae Remic Trust 2010-35 Variable Rate Due 4/25/2040 |
Government Mortgage Backed Securities 967,527 units | 121,171 | ||||||||
HSBC Bank PLC 6.299% Due 5/17/2017 |
Corporate Bonds 120,000 units | 121,002 | ||||||||
Wells Fargo Mortgage Backed Securities 2003-A Trust Due 2/25/2033 |
Collateralized Mortgage Obligations 131,544 units | 119,755 | ||||||||
Washington Mutual Variable Rate Pass-Through Due 9/25/2033 |
Collateralized Mortgage Obligations 123,839 units | 119,234 | ||||||||
XTO Energy Inc. 7.5% Due 4/15/2012 |
Corporate Bonds 110,000 units | 119,128 | ||||||||
Ginnie Mae 6% Due 6/20/2032 |
Government Mortgage Backed Securities 110,095 units | 119,109 | ||||||||
Ginnie Mae Pool #534855 6.45% Due 11/15/2030 |
Government Mortgage Backed Securities 104,967 units | 118,845 | ||||||||
Credit Suisse First Boston Securities Corporation Series 2006-C1 Floating Rate Due 2/15/2039 |
Commercial Mortgage Backed Securities 110,000 units | 118,367 | ||||||||
Fannie Mae Remic Series 2004-36 Due 5/25/2034 |
Government Mortgage Backed Securities 93,226 units | 118,325 | ||||||||
Ginnie Mae Remic Series 1997-16 Due 10/20/2027 |
Government Mortgage Backed Securities 514,949 units | 118,051 | ||||||||
Citigroup Commercial Mortgage Trust Series 2005-C3 Due 5/15/2043 |
Commercial Mortgage Backed Securities 115,000 units | 117,801 | ||||||||
Fannie Mae Pool 5.5% Due 2/1/2036 |
Government Mortgage Backed Securities 109,429 units | 117,338 | ||||||||
Fannie Mae Series 2003-59 4.5% Due 8/25/2018 |
Government Mortgage Backed Securities 113,683 units | 116,569 | ||||||||
Roche Holdings Inc. Note 6% Due 3/1/2019 |
Corporate Bonds 100,000 units | 116,284 | ||||||||
HSBC Home Equity Loan Trust Series 2006-1 Due 1/20/2036 |
Asset Backed Securities 125,861 units | 116,189 | ||||||||
United States Treasury Bonds 6.375% Due 8/15/27 |
Government Bonds 90,000 units | 115,819 | ||||||||
Federal Home Loan Mortgage Corporation Series 3218 Floating Rate Due 9/15/2026 |
Government Mortgage Backed Securities 743,077 units | 115,756 | ||||||||
Ginnie Mae Remic Series 2006-26 Due 6/20/2036 |
Government Mortgage Backed Securities 890,061 units | 113,651 | ||||||||
Ginnie Mae Pool #534720 6.45% Due 9/15/2030 |
Government Mortgage Backed Securities 99,878 units | 113,083 | ||||||||
Ontario Province Canada Due 10/07/2019 |
Municipal/Provincial Bonds 110,000 units | 113,000 | ||||||||
Federal Agricultural Mortgage Corporation 3.875% Due 8/19/2011 |
Government Bonds 110,000 units | 112,421 | ||||||||
Fannie Mae Remic 390 Due 7/25/2023 |
Government Mortgage Backed Securities 948,682 units | 110,408 | ||||||||
Morgan Stanley Capital I Inc. 2004-HQ3 4.8% Due 1/13/2041 |
Commercial Mortgage Backed Securities105,000 units | 110,003 | ||||||||
Ginnie Mae 2010-014 Remic Pass-Through Due 12/20/2032 |
Government Mortgage Backed Securities 120,107 units | 109,881 | ||||||||
General Electric Capital Corporation Notes 5.625% Due 9/15/2017 |
Corporate Bonds 100,000 units | 109,650 | ||||||||
United States Treasury Notes 1% Due 8/31/2011 |
Government Bonds 109,000 units | 109,549 | ||||||||
Credit Suisse First Boston 5.125% Due 1/15/2014 |
Corporate Bonds 100,000 units | 108,821 | ||||||||
MetLife Global 5.125% Due 6/10/2014 |
Corporate Bonds 100,000 units | 108,775 | ||||||||
Fannie Mae Remic Trust 2006-20 Variable Rate Due 4/25/2036 |
Government Mortgage Backed Securities 760,349 units | 108,236 | ||||||||
Amerada Hess Corporation 7.3% Due 8/15/2031 |
Corporate Bonds 90,000 units | 107,938 | ||||||||
Banc America Commercial Mortgage Inc. 2005-6 5.195% Due 9/10/2047* |
Commercial Mortgage Backed Securities100,000 units | 107,406 | ||||||||
General Electric Capital Corporation 5.5% Due 1/08/2020 |
Corporate Bonds 100,000 units | 106,949 |
30
Identity of Issue | Description of Investment | Current Value | ||||||||
Fannie Mae Preassign 00033 5% Due 3/25/2032 |
Government Mortgage Backed Securities 100,000 units | 106,521 | ||||||||
GMAC Commercial Mortgage Securities 5.238% Due 11/10/2045 |
Commercial Mortgage Backed Securities100,000 units | 106,116 | ||||||||
Ginnie Mae 2003-018 Floating Rate Due 9/20/2032 |
Government Mortgage Backed Securities 89,877 units | 105,541 | ||||||||
Federal Home Loan Mortgage Corporation Pool 5.5% Due 11/1/2035 |
Government Mortgage Backed Securities 98,206 units | 105,268 | ||||||||
Fannie Mae Preassign 00059 6.5% Due 2/25/2044 |
Government Mortgage Backed Securities 92,120 units | 104,579 | ||||||||
Ginnie Mae Remic Series 2008-79 Due 9/20/2038 |
Government Mortgage Backed Securities 713,306 units | 104,352 | ||||||||
Federal Home Loan Mortgage Corporation Due 12/15/2032 |
Government Mortgage Backed Securities 116,016 units | 104,218 | ||||||||
Federal Home Loan Mortgage Corporation Series 3593 Floating Rate Due 11/15/2024 |
Government Mortgage Backed Securities 837,443 units | 103,773 | ||||||||
Commonwealth Bank of Australia 3.75% Due 10/15/2014 |
Corporate Bonds 100,000 units | 103,740 | ||||||||
Rabobank Nederland Variable Rate Due 12/29/2049 |
Corporate Bonds 80,000 units | 103,400 | ||||||||
Nordea Bank 4.875% Due 1/27/2020 |
Corporate Bonds 100,000 units | 102,590 | ||||||||
Federal Home Loan Mortgage Corporation Series 2755 Due 2/15/2029 |
Government Mortgage Backed Securities 105,009 units | 102,384 | ||||||||
MetLife Global 2.5% Due 1/11/2013 |
Corporate Bonds 100,000 units | 102,184 | ||||||||
Ontario Province Canada Bond 2.7% Due 6/16/2015 |
Municipal/Provincial Bonds 100,000 units | 101,804 | ||||||||
Federal Home Loan Mortgage Corporation Pool #G02809 3.5% Due 5/01/2036 |
Government Mortgage Backed Securities 91,011 units | 101,737 | ||||||||
Federal Home Loan Mortgage Corporation Pool #M30277 5% Due 11/01/2017 |
Government Mortgage Backed Securities 95,919 units | 100,696 | ||||||||
Ginnie Mae 5.25% Due 3/20/2038 |
Government Mortgage Backed Securities 100,000 units | 100,694 | ||||||||
Federal Home Loan Mortgage Corporation Pool #G13390 6% Due 1/01/2024 |
Government Mortgage Backed Securities 91,970 units | 100,434 | ||||||||
Michigan Indiana Power Company 7% Due 3/15/2019 |
Corporate Bonds 85,000 units | 100,361 | ||||||||
Federal Home Loan Mortgage Corporation Series 10 Due 7/15/2019 |
Government Mortgage Backed Securities 90,344 units | 100,002 | ||||||||
Fannie Mae Remic Trust 2001-4 7% Due 3/25/2021 |
Government Mortgage Backed Securities 91,477 units | 99,856 | ||||||||
Citigroup Inc. 6.125% Due 11/21/2017 |
Corporate Bonds 90,000 units | 98,630 | ||||||||
Total Capital 2.3% Due 3/15/2016 |
Corporate Bonds 100,000 units | 97,687 | ||||||||
Morgan Stanley Corporation 3.45% Due 2/11/2015 |
Corporate Bonds 100,000 units | 97,496 | ||||||||
Federal Home Loan Mortgage Corporation Series 2626 Due 6/15/2033 |
Government Mortgage Backed Securities 101,770 units | 97,313 | ||||||||
Federal Home Loan Mortgage Corporation Series 3306 Floating Rate Due 4/15/2037 |
Government Mortgage Backed Securities 99,615 units | 96,302 | ||||||||
Fannie Mae Pool #550390 6.45% Due 10/01/2030 |
Government Mortgage Backed Securities 84,951 units | 95,954 | ||||||||
Bank of Nova Scotia 1.65% Due 10/29/2015 |
Corporate Bonds 100,000 units | 95,588 | ||||||||
Fannie Mae Remic Trust 2005-103 Variable Rate Due 7/25/2035 |
Government Mortgage Backed Securities 92,569 units | 94,960 | ||||||||
Time Warner Cable 6.75% Due 7/01/2018 |
Corporate Bonds 80,000 units | 93,254 | ||||||||
Fannie Mae Preassign 00869 Due 12/25/2032 |
Government Mortgage Backed Securities 80,855 units | 93,222 | ||||||||
American Express Company 7% Due 3/19/2018 |
Corporate Bonds 80,000 units | 93,182 | ||||||||
Boeing Company 6% Due 3/15/2019 |
Corporate Bonds 80,000 units | 92,042 |
31
Identity of Issue | Description of Investment | Current Value | ||||||||
Ginnie Mae 5.25% Due 4/20/2038 |
Government Mortgage Backed Securities 94,000 units | 91,771 | ||||||||
Fannie Mae Pool #745948 6.5% Due 10/01/2036 |
Government Mortgage Backed Securities 80,970 units | 90,284 | ||||||||
Ginnie Mae 2008-069 Remic Pass-Through 5.75% Due 8/20/2038 |
Government Mortgage Backed Securities 85,291 units | 90,116 | ||||||||
Apache Corporation 6% Due 9/15/2013 |
Corporate Bonds 80,000 units | 89,832 | ||||||||
Diageo Capital PLC 4.828% Due 7/15/2020 |
Corporate Bonds 85,000 units | 89,689 | ||||||||
Time Warner Cable Inc. 8.75% Due 2/14/2019 |
Corporate Bonds 70,000 units | 89,073 | ||||||||
Ginnie Mae Pool #535143 6.45% Due 1/15/2031 |
Government Mortgage Backed Securities 78,644 units | 89,041 | ||||||||
Wyeth 5.95% Due 4/01/2037 |
Corporate Bonds 80,000 units | 88,530 | ||||||||
Federal Home Loan Mortgage Corporation 0% Due 11/15/2037 |
Government Mortgage Backed Securities 104,257 units | 88,407 | ||||||||
Ahheuser Busch InBev Worldwide Inc. Note 5.375% Due 11/15/2014 |
Corporate Bonds 80,000 units | 88,140 | ||||||||
Apache Corporation 6% Due 1/15/2037 |
Corporate Bonds 80,000 units | 87,977 | ||||||||
Cleveland Electric Illumination Company 5.65% Due 12/15/2013 |
Corporate Bonds 80,000 units | 87,479 | ||||||||
Capital One Financial Corporation 6.75% Due 9/15/2017 |
Corporate Bonds 75,000 units | 86,427 | ||||||||
Delta Air Lines Inc. 6.821% Due 8/10/2022 |
Corporate Bonds 81,256 units | 86,131 | ||||||||
Federal Home Loan Mortgage Corporation Series 3117 Due 2/15/2036 |
Government Mortgage Backed Securities 98,354 units | 85,400 | ||||||||
United States Treasury Bonds Inflation Index 1.75% Due 1/15/2028 |
Index Linked Government Bonds 80,000 units | 85,016 | ||||||||
Federal Home Loan Mortgage Corporation Series 3117 Due 2/15/2036 |
Government Mortgage Backed Securities 97,077 units | 84,784 | ||||||||
Ginnie Mae Pool #535166 6.45% Due 1/15/2031 |
Government Mortgage Backed Securities 74,707 units | 84,584 | ||||||||
Tennessee Valley Authority Global Power Bond 2009 Series C 5.25% Due 9/15/2039 |
Government Bonds 80,000 units | 84,577 | ||||||||
Blackrock Inc. 6.25% Due 9/15/2017* |
Corporate Bonds 75,000 units | 84,427 | ||||||||
First Horizon Pass-Through Series 2003-7 4.5% Due 9/25/2018 |
Collateralized Mortgage Obligations 82,218 units | 84,391 | ||||||||
HSBC Home Equity Loan Trust Series 2005-2 Due 1/20/2035 |
Asset Backed Securities 90,939 units | 83,628 | ||||||||
Federal Home Loan Mortgage Corporation Series 2611 Due 5/15/2033 |
Government Mortgage Backed Securities 75,286 units | 83,501 | ||||||||
MidAmerican Energy 5.3% Due 3/15/2018 |
Corporate Bonds 75,000 units | 83,250 | ||||||||
Kaupthing Bank 7.625% Due 12/31/2040 |
Corporate Bonds 310,000 units | 82,925 | ||||||||
BB&T Corporation 6.5% Due 8/01/2011 |
Corporate Bonds 80,000 units | 82,571 | ||||||||
Goldman Sachs 3.7% Due 8/01/2015 |
Corporate Bonds 81,000 units | 82,532 | ||||||||
Federal Home Loan Mortgage Corporation Floating Rate Due 4/15/2037 |
Government Mortgage Backed Securities 86,154 units | 82,368 | ||||||||
Macquarie Group Ltd. 7.3% Due 8/01/2014 |
Corporate Bonds 75,000 units | 81,904 | ||||||||
Nelnet Student Loan Trust Floating Rate Due 4/25/2024 |
Asset Backed Securities 80,000 units | 81,880 | ||||||||
Port Authority NY & NJ 5.647% Due 11/01/2040 |
Municipal/Provincial Bonds 85,000 units | 81,424 | ||||||||
Ginnie Mae 2002-41 Remic Trust Due 6/16/2032 |
Government Mortgage Backed Securities 448,881 units | 81,294 | ||||||||
Fannie Mae Preassign 00464 Due 1/25/2036 |
Government Mortgage Backed Securities 86,208 units | 80,081 | ||||||||
Federal Home Loan Mortgage Corporation Series 2650 Due 12/15/2032 |
Government Mortgage Backed Securities 87,302 units | 78,513 | ||||||||
Nomura Holdings Inc. 5% Due 3/04/2015 |
Corporate Bonds 75,000 units | 78,194 | ||||||||
Time Warner Cable 6.75% Due 6/15/2039 |
Corporate Bonds 70,000 units | 77,313 | ||||||||
Ginnie Mae 2003-112 Floating Rate Due 10/20/2032 |
Government Mortgage Backed Securities 500,000 units | 76,876 |
32
Identity of Issue | Description of Investment | Current Value | ||||||||
Time Warner Entertainment 8.375% Due 7/15/2033 |
Corporate Bonds 60,000 units | 75,719 | ||||||||
Fannie Mae 6% Due 4/18/2036 |
Government Bonds 70,000 units | 75,618 | ||||||||
Fannie Mae Remic Trust 2010-43 Due 2/25/2025 |
Government Mortgage Backed Securities 873,676 units | 74,788 | ||||||||
Fannie Mae Remic Trust 2009-15 Variable Rate Due 3/25/2024 |
Government Mortgage Backed Securities 619,402 units | 72,886 | ||||||||
Federal Home Loan Mortgage Corporation Pool #B3-1151 6.5% Due 11/01/2031 |
Government Mortgage Backed Securities 66,372 units | 71,669 | ||||||||
Ginnie Mae 2010-014 Remic Pass-Through Due 6/16/2033 |
Government Mortgage Backed Securities 73,565 units | 70,964 | ||||||||
Fannie Mae Series 331 Variable Rate Due 2/01/2033 |
Government Mortgage Backed Securities 322,364 units | 70,581 | ||||||||
United States Treasury Bonds Inflation Index 2% Due 1/15/2026 |
Index Linked Government Bonds 60,000 units | 70,200 | ||||||||
Federal Home Loan Mortgage Corporation Pool 5.697% Due 4/1/2037 |
Government Mortgage Backed Securities 66,094 units | 69,911 | ||||||||
Ginnie Mae Pool #534544 6.45% Due 8/15/2030 |
Government Mortgage Backed Securities 61,197 units | 69,287 | ||||||||
Fannie Mae 2003-45 5.5% Due 6/25/2033 |
Government Mortgage Backed Securities 64,000 units | 68,786 | ||||||||
Rio Tinto Financial USA 3.5% Due 11/02/2020 |
Corporate Bonds 72,000 units | 68,347 | ||||||||
Ginnie Mae 2009-010 Remic Pass-Through Due 3/16/2034 |
Government Mortgage Backed Securities 569,009 units | 67,387 | ||||||||
Citigroup Inc. 6.375% Due 8/12/2014 |
Corporate Bonds 60,000 units | 66,312 | ||||||||
Federal Home Loan Mortgage Corporation Floating Rate Due 10/15/2040 |
Government Mortgage Backed Securities 403,990 units | 66,050 | ||||||||
Anheuser Busch Note 5.375% Due 1/15/2020 |
Corporate Bonds 60,000 units | 65,015 | ||||||||
Federal Home Loan Mortgage Corporation Series 3101 5.5% Due 1/15/2036 |
Government Mortgage Backed Securities 60,000 units | 64,470 | ||||||||
Fannie Mae Pool 5.5% Due 6/1/2036 |
Government Mortgage Backed Securities 59,612 units | 64,256 | ||||||||
Boeing Capital Corporation 4.7% Due 10/27/2019 |
Corporate Bonds 60,000 units | 63,612 | ||||||||
Fannie Mae Pool #563943 6.45% Due 1/01/2031 |
Government Mortgage Backed Securities 55,579 units | 62,778 | ||||||||
Fannie Mae Interest Strip Due 11/15/2021 |
Government Mortgage Backed Securities 100,000 units | 62,618 | ||||||||
Hewlett-Packard Company 6.125% Due 3/1/2014 |
Corporate Bonds 55,000 units | 62,283 | ||||||||
Countrywide Financial Corporation Notes 6.25% Due 5/15/2015* |
Corporate Bonds 60,000 units | 61,529 | ||||||||
FPL Group Capital Inc. 7.875% Due 12/15/2015 |
Corporate Bonds 50,000 units | 60,277 | ||||||||
Fannie Mae Remic Trust 2006-21 5.5% Due 3/25/2029 |
Government Mortgage Backed Securities 56,082 units | 59,088 | ||||||||
News America Inc. 7.625% Due 11/30/2028 |
Corporate Bonds 50,000 units | 58,267 | ||||||||
PPG Industries Inc. 7.4% Due 8/15/2019 |
Corporate Bonds 50,000 units | 58,064 | ||||||||
Bear Stearns
Commercial Mortgage Securities Inc. Series 2005-PWR9 4.871% Due 9/15/2015 |
Commercial Mortgage Backed Securities 55,000 units | 57,940 | ||||||||
PNC FDG Corporation Note 6.7% Due 6/10/2019 |
Corporate Bonds 50,000 units | 57,567 | ||||||||
Jeffries Group 8.5% Due 7/15/2019 |
Corporate Bonds 50,000 units | 57,169 | ||||||||
Cisco Systems Inc. 5.5% Due 2/22/2016 |
Corporate Bonds 50,000 units | 57,056 | ||||||||
Merrill Lynch Mortgage Trust Series 2005-LC1 Due 1/12/2044* |
Commercial Mortgage Backed Securities 60,000 units | 56,764 | ||||||||
Union Pacific Corporation 5.75% Due 11/15/2017 |
Corporate Bonds 50,000 units | 56,140 | ||||||||
Freddie Mac Series 2643 Due 3/15/2032 |
Government Mortgage Backed Securities 36,152 units | 56,066 |
33
Identity of Issue | Description of Investment | Current Value | ||||||||
Verizon Global 7.375% Due 9/1/2012 |
Corporate Bonds 50,000 units | 55,204 | ||||||||
Praxair Inc. 5.2% Due 3/15/2017 |
Corporate Bonds 50,000 units | 55,092 | ||||||||
Goldman Sachs Group Inc. 6.15% Due 4/01/2018 |
Corporate Bonds 50,000 units | 55,060 | ||||||||
Federal Home Loan Mortgage Corporation Series 3213 6% Due 9/15/2036 |
Government Mortgage Backed Securities 50,000 units | 54,631 | ||||||||
Dow Chemical Company 4.25% Due 11/15/2020 |
Corporate Bonds 57,000 units | 54,600 | ||||||||
Intuit Inc. 5.75% Due 3/15/2017 |
Corporate Bonds 50,000 units | 54,510 | ||||||||
Union Pacific Corporation 5.45% Due 1/31/2013 |
Corporate Bonds 50,000 units | 54,008 | ||||||||
Deutsche Bank 4.875% Due 5/20/2013 |
Corporate Bonds 50,000 units | 53,611 | ||||||||
Bunge Limited Finance Corporation 5.875% Due 5/15/2013 |
Corporate Bonds 50,000 units | 53,529 | ||||||||
AT&T Inc. 6.3% Due 1/15/2038 |
Corporate Bonds 50,000 units | 52,747 | ||||||||
Bank of New York Inc. 4.6% Due 1/15/2020 |
Corporate Bonds 50,000 units | 52,464 | ||||||||
Alberta Energy Ltd. 7.375% Due 11/01/2031 |
Corporate Bonds 45,000 units | 51,703 | ||||||||
American Municipal Power Ohio Inc. Rev. 7.499% Due 2/15/2050 |
Municipal/Provincial Bonds 50,000 units | 51,390 | ||||||||
Waste Management Inc. of Delaware 4.75% Due 6/20/2020 |
Corporate Bonds 50,000 units | 51,267 | ||||||||
Morgan Stanley 4.75% Due 4/1/2014 |
Corporate Bonds 50,000 units | 51,201 | ||||||||
Arrow Electronics Inc. 6% Due 4/1/2020 |
Corporate Bonds 50,000 units | 51,060 | ||||||||
New York Life Global Due 5/04/2015 |
Corporate Bonds 50,000 units | 51,038 | ||||||||
Lockheed Martin 4.25% Due 11/15/2019 |
Corporate Bonds 50,000 units | 50,834 | ||||||||
Bank of New York Inc. 2.95% Due 6/18/2015 |
Corporate Bonds 50,000 units | 50,641 | ||||||||
Federal Home Loan Mortgage Corporation Series 3171 Due 6/15/2036 |
Government Mortgage Backed Securities 60,064 units | 50,516 | ||||||||
SunTrust Banks Inc. 5.25% Due 11/05/2012 |
Corporate Bonds 47,000 units | 49,501 | ||||||||
Duke Capital Corporation 8% Due 10/01/2019 |
Corporate Bonds 40,000 units | 48,730 | ||||||||
CSX Corporation 6.25% Due 3/15/2018 |
Corporate Bonds 40,000 units | 45,886 | ||||||||
Fannie Mae 5% Due 3/25/2023 |
Government Mortgage Backed Securities 406,340 units | 44,304 | ||||||||
Dell Inc. 5.875% Due 6/15/2019 |
Corporate Bonds 40,000 units | 43,767 | ||||||||
Allstate Life 5.375% Due 4/30/2013 |
Corporate Bonds 40,000 units | 43,558 | ||||||||
Fannie Mae Remic Trust 1993-G17 Variable Rate Due 4/25/2023 |
Government Mortgage Backed Securities 198,824 units | 43,315 | ||||||||
Principal Life Inc. 5.3% Due 12/14/2012 |
Corporate Bonds 40,000 units | 43,032 | ||||||||
Telecom Italia Capital 6.999% Due 6/04/2018 |
Corporate Bonds 40,000 units | 42,353 | ||||||||
Pitney Bowes Inc. 5.875% Due 8/15/2014 |
Corporate Bonds 40,000 units | 42,128 | ||||||||
Commonwealth Bank of Australia 5.0% Due 10/15/2019 |
Corporate Bonds 40,000 units | 41,869 | ||||||||
Fannie Mae Pool #550387 6.45% Due 8/01/2030 |
Government Mortgage Backed Securities 37,011 units | 41,805 | ||||||||
BP Capital Markets PLC 3.875% Due 3/10/2015 |
Corporate Bonds 40,000 units | 41,260 | ||||||||
Wells Fargo & Company 5.3% Due 8/26/11 |
Corporate Bonds 40,000 units | 41,228 | ||||||||
Federal Home Loan Mortgage Corporation Pool #M30262 5% Due 3/1/2017 |
Government Mortgage Backed Securities 38,576 units | 40,498 | ||||||||
Delta Air Lines Inc. 4.95% Due 5/23/2019 |
Corporate Bonds 40,000 units | 40,150 | ||||||||
PNC FDG Corporation 5.25% Due 11/15/2015 |
Corporate Bonds 36,000 units | 38,527 | ||||||||
Ginnie Mae 2008-060 Remic Pass-Through 5.5% Due 7/20/2038 |
Government Mortgage Backed Securities 35,000 units | 37,482 | ||||||||
PNC FDG Corporation 5.625% Due 2/01/2017 |
Corporate Bonds 35,000 units | 37,413 | ||||||||
Time Warner Cable 8.25% Due 4/01/2019 |
Corporate Bonds 30,000 units | 37,265 | ||||||||
Federal Home Loan Mortgage Corporation Series 3058 0% Due 10/15/2035 |
Government Mortgage Backed Securities 39,461 units | 36,874 | ||||||||
CME Group Inc. 5.75% Due 2/01/2014 |
Corporate Bonds 33,000 units | 36,539 |
34
Identity of Issue | Description of Investment | Current Value | ||||||||
Fannie Mae Remic Trust 1997-30 Due 5/18/2027 |
Government Mortgage Backed Securities 154,490 units | 36,420 | ||||||||
Ginnie Mae 2001-53 Remic Trust Due 10/20/2031 |
Government Mortgage Backed Securities 299,787 units | 35,910 | ||||||||
Fannie Mae 2009-18 Due 3/25/2024 |
Government Mortgage Backed Securities 307,637 units | 35,575 | ||||||||
Viacom Inc. 7.875% Due 7/30/2030 |
Corporate Bonds 30,000 units | 35,421 | ||||||||
Public Service Electric & Gas 2.7% Due 5/01/2015 |
Corporate Bonds 35,000 units | 35,312 | ||||||||
National Rural Utilities 10.375% Due 11/01/2018 |
Corporate Bonds 25,000 units | 34,486 | ||||||||
Fannie Mae Floating Rate 2007-88 Due 9/25/2037 |
Government Mortgage Backed Securities 237,435 units | 34,291 | ||||||||
Pacific Gas & Electric Company 5.625% Due 11/30/2017 |
Corporate Bonds 30,000 units | 33,774 | ||||||||
Georgia Power Company 4.75% Due 9/1/2040 |
Corporate Bonds 35,000 units | 32,426 | ||||||||
Dominion Resources Inc. 8.875% Due 1/15/2019 |
Corporate Bonds 25,000 units | 32,393 | ||||||||
Boeing Company 4.875% Due 11/15/2020 |
Corporate Bonds 30,000 units | 32,295 | ||||||||
N. W. Airlines Pass-Through Trust 1999-2 Mortgage .575% Due 3/01/2019 |
Asset Backed Securities 29,589 units | 31,354 | ||||||||
Jeffries Group 6.25% Due 1/15/2036 |
Corporate Bonds 35,000 units | 31,353 | ||||||||
US Bancorp 2% Due 6/14/2013 |
Corporate Bonds 30,000 units | 30,447 | ||||||||
Norfolk Southern 7.25% Due 2/15/2031 |
Corporate Bonds 25,000 units | 29,934 | ||||||||
Glitnir Banki HF Medium Term 6.375% Due 9/25/2012 |
Corporate Bonds 100,000 units | 29,750 | ||||||||
Xerox Corporation 6.75% Due 2/01/2017 |
Corporate Bonds 25,000 units | 28,887 | ||||||||
Verizon Communications Inc. 6.1% Due 4/15/2018 |
Corporate Bonds 25,000 units | 28,398 | ||||||||
Aquila Inc. Due 7/01/2012 |
Corporate Bonds 25,000 units | 28,358 | ||||||||
PepsiCo Inc. 7.9% Due 11/01/2018 |
Corporate Bonds 22,000 units | 28,305 | ||||||||
American Water Capital Corporation 6.085% Due 10/15/2017 |
Corporate Bonds 25,000 units | 28,045 | ||||||||
Electric Data Systems Inc. Step Coupon 6% Due 8/01/2013 |
Corporate Bonds 25,000 units | 27,866 | ||||||||
Jackson National Life 5.375% Due 5/08/2013 |
Corporate Bonds 25,000 units | 26,817 | ||||||||
CVS Caremark Corporation 6.125% Due 9/15/2039 |
Corporate Bonds 25,000 units | 26,711 | ||||||||
Public Service Company of Colorado 3.2% Due 11/15/2020 |
Corporate Bonds 28,000 units | 26,401 | ||||||||
Wells Fargo Mortgage Backed Securities Due 5/25/2033 |
Collateralized Mortgage Obligations 26,283 units | 26,363 | ||||||||
Berkshire Hathaway Inc. 5.75% Due 1/15/2040 |
Corporate Bonds 25,000 units | 26,272 | ||||||||
United Parcel Service Inc. 8.375% 4/01/2030 |
Corporate Bonds 20,000 units | 25,658 | ||||||||
Public Service Electric & Gas 5.375% Due 11/01/2039 |
Corporate Bonds 25,000 units | 25,456 | ||||||||
Elm Road Generating Station LLC Note 6.09% Due 2/11/2040 |
Corporate Bonds 25,000 units | 25,448 | ||||||||
Federal Home Loan Mortgage Corporation Series 3219 6% Due 4/15/2036 |
Government Mortgage Backed Securities 148,776 units | 24,526 | ||||||||
Fannie Mae Remic Series 2008-80 Due 9/25/2038 |
Government Mortgage Backed Securities 207,579 units | 24,524 | ||||||||
Philips Electronics Note 7.2% Due 6/01/2026 |
Corporate Bonds 20,000 units | 23,893 | ||||||||
Wisconsin Power & Light Company 6.375% Due 8/15/2037 |
Corporate Bonds 20,000 units | 23,044 | ||||||||
Ginnie Mae 2008-071 Remic Pass-Through Due 8/20/2038 |
Government Mortgage Backed Securities 203,772 units | 22,911 | ||||||||
General Mills Inc. 5.65% Due 2/15/2019 |
Corporate Bonds 20,000 units | 22,265 | ||||||||
Fannie Mae Remic Series 2009-9 Due 2/25/2024 |
Government Mortgage Backed Securities 171,536 units | 22,253 | ||||||||
Charles Schwab Corporation Note 4.95% Due 6/01/2014 |
Corporate Bonds 20,000 units | 21,749 | ||||||||
State Street Corporation 4.3% Due 5/30/2014 |
Corporate Bonds 20,000 units | 21,398 | ||||||||
American Water Capital Corporation 6.593% Due 10/15/2037 |
Corporate Bonds 20,000 units | 21,373 | ||||||||
Pitney Bowes Inc. 6.25% Due 3/15/2019 |
Corporate Bonds 20,000 units | 21,316 | ||||||||
Morgan Stanley Note 5.3% Due 3/01/2013 |
Corporate Bonds 20,000 units | 21,312 |
35
Identity of Issue | Description of Investment | Current Value | ||||||||
CNA Financial Corporation 5.85% Due 12/15/2014 |
Corporate Bonds 20,000 units | 21,101 | ||||||||
Citigroup Inc. 5.875% Due 5/29/2037 |
Corporate Bonds 20,000 units | 19,566 | ||||||||
Fannie Mae Preassign 00470 Due 6/25/2033 |
Government Mortgage Backed Securities 96,787 units | 18,690 | ||||||||
Ginnie Mae 2003-076 Remic Pass-Through Due 9/20/2031 |
Government Mortgage Backed Securities 200,867 units | 17,946 | ||||||||
Ryder Systems Inc. 3.6% Due 3/16/2016 |
Corporate Bonds 18,000 units | 17,945 | ||||||||
United States Treasury Bonds Inflation Index 3.875% Due 4/15/2029 |
Index Linked Government Bonds 10,000 units | 17,842 | ||||||||
Berkshire Hathaway Inc. 2.45% Due 12/15/2015 |
Corporate Bonds 17,000 units | 16,896 | ||||||||
ACE INA Holdings Inc. 5.6% Due 5/15/2015 |
Corporate Bonds 15,000 units | 16,529 | ||||||||
Fannie Mae Remic Trust 2008-53 Variable Rate Due 7/25/2038 |
Government Mortgage Backed Securities 112,473 units | 16,481 | ||||||||
CNA Financial Corporation Note 5.875% Due 8/15/2020 |
Corporate Bonds 15,000 units | 14,935 | ||||||||
Federal Home Loan Mortgage Corporation Series 2326 6.5% Due 6/15/2031 |
Government Mortgage Backed Securities 12,871 units | 14,782 | ||||||||
Amerada Hess Corporation 7.875% Due 10/01/2029 |
Corporate Bonds 10,000 units | 12,550 | ||||||||
Shell International Finance BV 6.375% Due 12/15/2038 |
Corporate Bonds 10,000 units | 11,852 | ||||||||
Wal-Mart Stores Inc. 6.2% Due 4/15/2038 |
Corporate Bonds 10,000 units | 11,384 | ||||||||
Kroger Company 6.15% Due 1/15/2020 |
Corporate Bonds 10,000 units | 11,332 | ||||||||
News America Inc. 6.65% Due 11/15/2037 |
Corporate Bonds 10,000 units | 11,076 | ||||||||
Aon Corporation 3.5% Due 9/30/2015 |
Corporate Bonds 11,000 units | 11,005 | ||||||||
BAE Systems Holdings Inc. Note 5.2% Due 8/15/2015 |
Corporate Bonds 10,000 units | 10,665 | ||||||||
AT&T Inc. 6.4% Due 5/15/2038 |
Corporate Bonds 10,000 units | 10,630 | ||||||||
Kroger Company 5.4% Due 7/15/2040 |
Corporate Bonds 11,000 units | 10,426 | ||||||||
Rabobank Nederland 2.125% Due 10/13/2015 |
Corporate Bonds 10,000 units | 9,671 | ||||||||
Citigroup Inc. 6.125% Due 8/25/2036 |
Corporate Bonds 10,000 units | 9,582 | ||||||||
Bunge Limited Finance Corporation 8.5% Due 6/15/2019 |
Corporate Bonds 8,000 units | 9,380 | ||||||||
Bear Stearns Asset Backed Securities Trust Adjustable Rate Due 12/25/2033 |
Asset Backed Securities 10,397 units | 9,296 | ||||||||
Federal Home Loan Mortgage Corporation Preassign 00482 Due 3/15/2033 |
Government Mortgage Backed Securities 46,470 units | 8,684 | ||||||||
Shell International Finance 3.1% Due 6/28/2015 |
Corporate Bonds 7,000 units | 7,189 | ||||||||
Newell Rubbermaid 4.7% Due 8/15/2020 |
Corporate Bonds 7,000 units | 6,944 | ||||||||
Lehman Brothers Holdings Inc. Note 6.2% Due 9/26/2014 |
Corporate Bonds 30,000 units | 6,938 | ||||||||
Freddie Mac Series 2735 Floating Rate Due 1/15/2034 |
Government Mortgage Backed Securities 6,724 units | 6,770 | ||||||||
Residential Asset Mortgage Products Inc. Floating Rate Due 3/25/2033 |
Asset Backed Securities 2,703 units | 1,945 | ||||||||
Cash |
Cash and Short Term Investments | 1,208 | ||||||||
Lehman Brothers Holdings Inc. Note 6.5% Due 7/19/2017 |
Corporate Bonds 180,000 units | 18 | ||||||||
Lehman Brothers Holdings Inc. 6.75% Due 12/28/2017 |
Corporate Bonds 130,000 units | 13 | ||||||||
Lehman Brothers Holdings Inc. Note 5.857% |
Corporate Bonds 10,000 units | 1 | ||||||||
Total Fixed Income Asset Class |
164,989,099 | |||||||||
High Yield Asset Class: |
||||||||||
Blackrock High Yield Bond Fund* |
Mutual Fund 7,287,453 units | 55,894,767 | ||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 3,760,148 units | 3,760,148 | ||||||||
Total High Yield Asset Class |
59,654,915 | |||||||||
Inflation Protection Asset Class: |
||||||||||
Vanguard Inflation Protected Fund |
Mutual Fund 1,104,220 units | 28,201,780 |
36
Identity of Issue | Description of Investment | Current Value | ||||||||
Northern Trust Collective TIPS Index Fund - Non-Lending* |
Common Collective Trust 17,250 units | 1,995,480 | ||||||||
Total Inflation Protection Asset Class |
30,197,260 | |||||||||
International Value Asset Class: |
||||||||||
Dodge & Cox International Fund |
Mutual Fund 5,199,736 units | 185,682,583 | ||||||||
Northern Trust Collective EAFE Index Fund - Non-Lending* |
Common Collective Trust 40,871 units | 8,648,184 | ||||||||
Total International Value Asset Class |
194,330,767 | |||||||||
International Growth Asset Class: |
||||||||||
Northern Trust Collective EAFE Index Fund - Non-Lending* |
Common Collective Trust 34,974 units | 7,400,392 | ||||||||
BHP Billiton PLC |
Common Stock 82,280 shares | 3,286,241 | ||||||||
Rio Tinto |
Common Stock 41,583 shares | 2,920,910 | ||||||||
British American Tobacco |
Common Stock 61,751 shares | 2,381,723 | ||||||||
Lanxess AG |
Common Stock 27,150 shares | 2,152,604 | ||||||||
Novo-Nordisk AS DKK1 Series B |
Common Stock 18,960 shares | 2,146,924 | ||||||||
Komatsu |
Common Stock 70,300 shares | 2,129,673 | ||||||||
UBS AG |
Common Stock 122,103 shares | 2,010,815 | ||||||||
CNOOC Ltd. |
Common Stock 824,000 shares | 1,954,624 | ||||||||
Anheuser-Busch Inbev NV |
Common Stock 32,377 shares | 1,859,034 | ||||||||
Swatch Group |
Common Stock 4,140 shares | 1,851,252 | ||||||||
Scheider Electric |
Common Stock 12,300 shares | 1,848,119 | ||||||||
Volvo AB Series B |
Common Stock 103,655 shares | 1,827,070 | ||||||||
Centrica |
Common Stock 327,036 shares | 1,697,871 | ||||||||
Magna International Inc. |
Common Stock 32,440 shares | 1,686,880 | ||||||||
Hitachi |
Common Stock 312,000 shares | 1,665,693 | ||||||||
Fanuc Ltd. |
Common Stock 10,100 shares | 1,552,888 | ||||||||
Atlas Copco AB Series A |
Common Stock 58,790 shares | 1,483,993 | ||||||||
Tata Motors Ltd. |
Common Stock 50,490 shares | 1,481,377 | ||||||||
Swire Pacific |
Common Stock 89,000 shares | 1,463,174 | ||||||||
Assa Abloy Series B |
Common Stock 51,870 shares | 1,462,083 | ||||||||
Banpu Public Company |
Common Stock 55,550 shares | 1,459,466 | ||||||||
Enbridge Inc. |
Common Stock 25,760 shares | 1,458,778 | ||||||||
WPP PLC |
Common Stock 116,380 shares | 1,438,551 | ||||||||
Fuji Heavy Industries |
Common Stock 180,000 shares | 1,398,188 | ||||||||
Barrick Gold Corporation |
Common Stock 25,750 shares | 1,369,385 | ||||||||
Hongkong Land Holding |
Common Stock 189,000 shares | 1,364,580 | ||||||||
SMC Corporation |
Common Stock 7,900 shares | 1,354,898 | ||||||||
Anglo American |
Common Stock 25,880 shares | 1,351,512 | ||||||||
Arm Holdings |
Common Stock 203,220 shares | 1,346,819 | ||||||||
Exor Spa |
Common Stock 40,660 shares | 1,346,230 | ||||||||
Swedbank AB Series A |
Common Stock 96,170 shares | 1,341,804 | ||||||||
DnB NOR ASA |
Common Stock 95,030 shares | 1,339,003 | ||||||||
Ping An Insurance Group H |
Common Stock 119,500 shares | 1,335,865 | ||||||||
BASF SE |
Common Stock 16,408 shares | 1,314,126 | ||||||||
Nestle SA |
Common Stock 22,330 shares | 1,311,627 | ||||||||
Iluka Resources |
Common Stock 136,690 shares | 1,280,643 | ||||||||
Isuzu Motors |
Common Stock 274,000 shares | 1,246,606 | ||||||||
Stora Enso Oyj Series R |
Common Stock 117,950 shares | 1,216,042 | ||||||||
Weir Group |
Common Stock 43,600 shares | 1,215,070 |
37
Identity of Issue | Description of Investment | Current Value | ||||||||
Petrofac |
Common Stock 48,400 shares | 1,202,588 | ||||||||
Royal Dutch Shell A |
Common Stock 35,450 shares | 1,176,108 | ||||||||
Banco Bradesco SA |
Preferred Stock 58,358 shares | 1,147,825 | ||||||||
China Construction Bank H |
Common Stock 1,257,000 shares | 1,127,050 | ||||||||
Singapore Airlines |
Common Stock 94,000 shares | 1,122,673 | ||||||||
Sampo Oyj Series A |
Common Stock 40,860 shares | 1,099,056 | ||||||||
Oriental Land Company Ltd. |
Common Stock 11,700 shares | 1,084,816 | ||||||||
Arkema Eur10 |
Common Stock 14,990 shares | 1,083,317 | ||||||||
Credicorp Ltd. |
Common Stock 8,780 shares | 1,044,030 | ||||||||
Lojas Renner SA |
Common Stock 30,300 shares | 1,029,470 | ||||||||
Pacific Rubiales |
Common Stock 29,890 shares | 1,015,234 | ||||||||
Oz Minerals Ltd. |
Common Stock 550,030 shares | 969,750 | ||||||||
Tele2 AB Series B |
Common Stock 46,260 shares | 960,589 | ||||||||
DeNA Company Ltd. |
Common Stock 24,500 shares | 879,650 | ||||||||
Check Point Software Technologies |
Common Stock 19,000 shares | 878,940 | ||||||||
ST Microelectronics |
Common Stock 83,600 shares | 867,957 | ||||||||
Canadian National Railways |
Common Stock 12,945 shares | 864,390 | ||||||||
Yangzijiang Shipbu |
Common Stock 575,000 shares | 857,305 | ||||||||
CP ALL PLC |
Common Stock 654,800 shares | 852,576 | ||||||||
Sandvik AB |
Common Stock 43,270 shares | 843,793 | ||||||||
Aggreko |
Common Stock 36,000 shares | 835,306 | ||||||||
Cash |
Cash and Short Term Investments | 826,857 | ||||||||
P.T. Astra International |
Common Stock 136,500 shares | 826,423 | ||||||||
Wynn Macau Ltd. |
Common Stock 365,600 shares | 818,334 | ||||||||
Wacker Chemie |
Common Stock 4,410 shares | 772,660 | ||||||||
China Yurun Food Group Ltd. |
Common Stock 223,400 shares | 734,259 | ||||||||
Sanrio Company Ltd. |
Common Stock 28,700 shares | 673,400 | ||||||||
Unicharm Corporation |
Common Stock 16,800 shares | 669,059 | ||||||||
HSBC Holdings |
Common Stock 65,450 shares | 667,194 | ||||||||
Zeon Corporation |
Common Stock 77,000 shares | 645,583 | ||||||||
Dassault Systems |
Common Stock 8,130 shares | 615,362 | ||||||||
ICL-Israel Chemicals |
Common Stock 35,200 shares | 604,607 | ||||||||
Sina Corporation |
Common Stock 8,680 shares | 597,358 | ||||||||
Gran Tierra Energy |
Common Stock 59,075 shares | 480,971 | ||||||||
United Laboratories |
Common Stock 220,000 shares | 451,680 | ||||||||
Air China Ltd. H |
Common Stock 112,000 shares | 125,779 | ||||||||
Total International Growth Asset Class |
102,204,482 | |||||||||
Large Cap Growth Asset Class: |
||||||||||
Northern Trust Collective Russell 1000 Growth Index Fund - Non-Lending* |
Common Collective Trust 142,783 units | 22,395,947 | ||||||||
Apple Inc. |
Common Stock 45,662 shares | 14,728,734 | ||||||||
Amazon.Com Inc. |
Common Stock 41,460 shares | 7,462,800 | ||||||||
Google Inc. Class A |
Common Stock 12,499 shares | 7,424,031 | ||||||||
Ford Motor Company |
Common Stock 328,807 shares | 5,520,670 | ||||||||
Cummins Inc. |
Common Stock 49,979 shares | 5,498,190 | ||||||||
Netapp Inc. |
Common Stock 98,443 shares | 5,410,427 | ||||||||
Deere & Company |
Common Stock 62,589 shares | 5,198,016 | ||||||||
American Express Company |
Common Stock 107,767 shares | 4,625,360 |
38
Identity of Issue | Description of Investment | Current Value | ||||||||
Cisco Systems Inc. |
Common Stock 157,140 shares | 4,619,524 | ||||||||
Precision Castparts Corporation |
Common Stock 32,339 shares | 4,501,912 | ||||||||
priceline.com Inc. |
Common Stock 10,953 shares | 4,376,271 | ||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 186,311 units | 4,088,334 | ||||||||
F5 Networks Inc. |
Common Stock 30,997 shares | 4,034,570 | ||||||||
Qualcomm Inc. |
Common Stock 81,173 shares | 4,017,252 | ||||||||
Oracle Corporation |
Common Stock 126,520 shares | 3,960,076 | ||||||||
Allergan Inc. |
Common Stock 57,508 shares | 3,949,074 | ||||||||
Cognizant Technology Solutions Corporation Class A |
Common Stock 51,128 shares | 3,747,171 | ||||||||
VMware Inc. |
Common Stock 41,880 shares | 3,723,551 | ||||||||
Salesforce.com Inc. |
Common Stock 27,632 shares | 3,647,424 | ||||||||
FMC Technologies Inc. |
Common Stock 38,785 shares | 3,448,374 | ||||||||
National Oilwell Varco |
Common Stock 46,921 shares | 3,155,437 | ||||||||
Schlumberger Ltd. |
Common Stock 37,480 shares | 3,129,580 | ||||||||
Estee Lauder Companies Inc. Class A |
Common Stock 37,851 shares | 3,054,576 | ||||||||
Jones Lang LaSalle Inc. |
Common Stock 34,018 shares | 2,854,791 | ||||||||
Coca-Cola Company |
Common Stock 42,790 shares | 2,814,298 | ||||||||
Eaton Corporation |
Common Stock 27,496 shares | 2,791,119 | ||||||||
General Motors Company |
Common Stock 73,921 shares | 2,724,728 | ||||||||
EMC Corporation |
Common Stock 116,080 shares | 2,658,232 | ||||||||
Occidental Petroleum Corporation |
Common Stock 26,890 shares | 2,637,909 | ||||||||
Perrigo Company |
Common Stock 40,916 shares | 2,591,210 | ||||||||
American Tower Corporation Class A |
Common Stock 46,360 shares | 2,394,030 | ||||||||
Dollar Tree Inc. |
Common Stock 42,293 shares | 2,371,791 | ||||||||
Netflix Inc. |
Common Stock 12,196 shares | 2,142,837 | ||||||||
Chipotle Mexican Grill Inc. |
Common Stock 10,007 shares | 2,128,089 | ||||||||
Broadcom Corporation Class A |
Common Stock 47,350 shares | 2,062,093 | ||||||||
Costco Wholesale Corporation |
Common Stock 27,040 shares | 1,952,558 | ||||||||
Halliburton Company |
Common Stock 46,880 shares | 1,914,110 | ||||||||
Agilent Technologies Inc. |
Common Stock 46,020 shares | 1,906,609 | ||||||||
Discovery Communications Inc. |
Common Stock 45,455 shares | 1,895,474 | ||||||||
Emerson Electric Company |
Common Stock 32,470 shares | 1,856,310 | ||||||||
Red Hat Inc. |
Common Stock 40,573 shares | 1,852,157 | ||||||||
Microsoft Corporation |
Common Stock 65,720 shares | 1,834,902 | ||||||||
Freeport-McMoRan Copper & Gold Inc. |
Common Stock 15,060 shares | 1,808,555 | ||||||||
FedEx Corporation |
Common Stock 19,230 shares | 1,788,582 | ||||||||
Varian Medical Systems Inc. |
Common Stock 25,220 shares | 1,747,242 | ||||||||
McDonalds Corporation |
Common Stock 22,240 shares | 1,707,142 | ||||||||
Alexion Pharmaceuticals Inc. |
Common Stock 18,954 shares | 1,526,745 | ||||||||
Marriott International Inc. |
Common Stock 36,180 shares | 1,502,917 | ||||||||
Intuit Inc. |
Common Stock 29,430 shares | 1,450,899 | ||||||||
T Rowe Price Group Inc. |
Common Stock 22,320 shares | 1,440,533 | ||||||||
Hewlett-Packard Company |
Common Stock 34,110 shares | 1,436,031 | ||||||||
Paccar Inc. |
Common Stock 24,670 shares | 1,416,551 | ||||||||
Target Corporation |
Common Stock 22,840 shares | 1,373,369 | ||||||||
Acme Packet Inc. |
Common Stock 25,752 shares | 1,368,976 | ||||||||
Check Point Software Technologies |
Common Stock 28,910 shares | 1,337,377 | ||||||||
Juniper Networks Inc. |
Common Stock 35,750 shares | 1,319,890 | ||||||||
International Business Machines Corporation |
Common Stock 8,870 shares | 1,301,761 |
39
Identity of Issue | Description of Investment | Current Value | ||||||||
Flowserve Corporation |
Common Stock 10,770 shares | 1,283,999 | ||||||||
Celgene Corporation |
Common Stock 21,310 shares | 1,260,273 | ||||||||
Mylan Inc. |
Common Stock 58,978 shares | 1,246,205 | ||||||||
EQT Corporation |
Common Stock 27,040 shares | 1,212,474 | ||||||||
AmerisourceBergen Corporation |
Common Stock 35,100 shares | 1,197,612 | ||||||||
Walt Disney Company |
Common Stock 31,900 shares | 1,196,569 | ||||||||
Cree Inc. |
Common Stock 18,066 shares | 1,190,369 | ||||||||
IntercontinentalExchange, Inc. |
Common Stock 9,960 shares | 1,186,734 | ||||||||
Rovi Corporation |
Common Stock 19,100 shares | 1,184,391 | ||||||||
Autodesk Inc. |
Common Stock 30,670 shares | 1,171,594 | ||||||||
Wells Fargo & Company |
Common Stock 37,600 shares | 1,165,224 | ||||||||
Nike Inc. Class B |
Common Stock 13,540 shares | 1,156,587 | ||||||||
Anheuser-Busch InBev NV |
Common Stock 20,060 shares | 1,145,225 | ||||||||
Philip Morris International Inc. |
Common Stock 19,430 shares | 1,137,238 | ||||||||
KLA-Tencor Corporation |
Common Stock 29,030 shares | 1,121,719 | ||||||||
International Paper Company |
Common Stock 40,870 shares | 1,113,299 | ||||||||
Scripps Networks Interactive Inc. Class A |
Common Stock 21,310 shares | 1,102,793 | ||||||||
Mosaic Company |
Common Stock 14,320 shares | 1,093,475 | ||||||||
Intel Corporation |
Common Stock 51,810 shares | 1,089,564 | ||||||||
Cliffs Natural Resources Inc. |
Common Stock 13,870 shares | 1,081,999 | ||||||||
W.W. Grainger Inc. |
Common Stock 7,730 shares | 1,067,590 | ||||||||
Peabody Energy Corporation |
Common Stock 16,660 shares | 1,065,907 | ||||||||
Praxair Inc. |
Common Stock 11,090 shares | 1,058,762 | ||||||||
United Parcel Service Inc. |
Common Stock 14,560 shares | 1,056,765 | ||||||||
Cardinal Health Inc. |
Common Stock 27,420 shares | 1,050,460 | ||||||||
MetLife Inc. |
Common Stock 23,560 shares | 1,047,006 | ||||||||
Whole Foods Market Inc. |
Common Stock 20,660 shares | 1,045,189 | ||||||||
Concho Resources Inc. |
Common Stock 11,920 shares | 1,045,026 | ||||||||
PPG Industries Inc. |
Common Stock 12,420 shares | 1,044,149 | ||||||||
Chevron Corporation |
Common Stock 11,370 shares | 1,037,513 | ||||||||
Abbott Laboratories |
Common Stock 21,630 shares | 1,036,293 | ||||||||
Exxon Mobil Corporation |
Common Stock 14,070 shares | 1,028,798 | ||||||||
Omnicom Group Inc. |
Common Stock 22,460 shares | 1,028,668 | ||||||||
Joy Global Inc. |
Common Stock 11,770 shares | 1,021,048 | ||||||||
E.I. du Pont de Nemours & Company |
Common Stock 20,420 shares | 1,018,550 | ||||||||
Goodrich Corporation |
Common Stock 11,500 shares | 1,012,805 | ||||||||
Starbucks Corporation |
Common Stock 31,250 shares | 1,004,063 | ||||||||
Family Dollar Stores Inc. |
Common Stock 20,180 shares | 1,003,148 | ||||||||
Teradata Corporation |
Common Stock 24,200 shares | 996,072 | ||||||||
Activision Blizzard Inc. |
Common Stock 79,980 shares | 994,951 | ||||||||
Johnson Controls Inc. |
Common Stock 25,980 shares | 992,436 | ||||||||
Dover Corporation |
Common Stock 16,840 shares | 984,298 | ||||||||
Mattel Inc. |
Common Stock 38,630 shares | 982,361 | ||||||||
Lazard Ltd. Class A |
Common Stock 24,850 shares | 981,327 | ||||||||
Waters Corporation |
Common Stock 12,620 shares | 980,700 | ||||||||
Hersey Company |
Common Stock 20,730 shares | 977,420 | ||||||||
Ametek Inc. |
Common Stock 24,735 shares | 970,849 | ||||||||
eBay Inc. |
Common Stock 34,320 shares | 955,126 | ||||||||
Aflac Inc. |
Common Stock 16,790 shares | 947,460 |
40
Identity of Issue | Description of Investment | Current Value | ||||||||
Rockwell Automation |
Common Stock 13,090 shares | 938,684 | ||||||||
DIRECTV Class A |
Common Stock 23,390 shares | 933,963 | ||||||||
Wal-Mart Stores Inc. |
Common Stock 17,140 shares | 924,360 | ||||||||
TJX Companies Inc. |
Common Stock 20,570 shares | 913,102 | ||||||||
Colgate-Palmolive Company |
Common Stock 11,220 shares | 901,751 | ||||||||
Cooper Industries PLC |
Common Stock 15,330 shares | 893,586 | ||||||||
Visa Inc. Class A |
Common Stock 12,590 shares | 886,084 | ||||||||
Coach Inc. |
Common Stock 15,900 shares | 879,429 | ||||||||
Kohls Corporation |
Common Stock 16,160 shares | 878,134 | ||||||||
McKesson Corporation |
Common Stock 12,370 shares | 870,601 | ||||||||
Marvell Technology Group |
Common Stock 45,930 shares | 852,002 | ||||||||
Goldcorp Inc. |
Common Stock 18,470 shares | 849,251 | ||||||||
Coca-Cola Enterprises Inc. |
Common Stock 33,270 shares | 832,748 | ||||||||
Expeditors International of Washington Inc. |
Common Stock 15,160 shares | 827,736 | ||||||||
Eli Lilly & Company |
Common Stock 23,560 shares | 825,542 | ||||||||
Cognizant Technology Solutions Corporation Class A |
Common Stock 11,030 shares | 808,389 | ||||||||
Xerox Corporation |
Common Stock 70,140 shares | 808,013 | ||||||||
Hospira Inc. |
Common Stock 14,280 shares | 795,253 | ||||||||
Norfolk Southern Corporation |
Common Stock 12,370 shares | 777,083 | ||||||||
TRW Automotive Holdings Corporation |
Common Stock 14,690 shares | 774,163 | ||||||||
Express Scripts Inc. |
Common Stock 14,190 shares | 766,970 | ||||||||
FMC Corporation |
Common Stock 9,440 shares | 754,162 | ||||||||
Shire PLC |
Common Stock 10,330 shares | 747,685 | ||||||||
Franklin Resources Inc. |
Common Stock 6,680 shares | 742,883 | ||||||||
H. J. Heinz |
Common Stock 14,820 shares | 732,997 | ||||||||
Tiffany & Company |
Common Stock 11,600 shares | 722,332 | ||||||||
CSX Corporation |
Common Stock 10,690 shares | 690,681 | ||||||||
Walter Energy Inc. |
Common Stock 5,300 shares | 677,552 | ||||||||
Limited Brands |
Common Stock 21,960 shares | 674,831 | ||||||||
Teva Pharmaceuticals Industries Ltd. |
Common Stock 12,550 shares | 654,232 | ||||||||
Noble Energy Inc. |
Common Stock 6,810 shares | 586,205 | ||||||||
United Continental Holdings Inc. |
Common Stock 23,590 shares | 561,914 | ||||||||
Resmed Inc. |
Common Stock 14,030 shares | 485,999 | ||||||||
Church & Dwight Inc. |
Common Stock 6,760 shares | 466,575 | ||||||||
Blackrock Inc.* |
Common Stock 2,440 shares | 465,015 | ||||||||
Bed Bath & Beyond Inc. |
Common Stock 8,810 shares | 433,012 | ||||||||
Charles Schwab Corporation |
Common Stock 13,500 shares | 230,985 | ||||||||
Total Large Cap Growth Asset Class |
281,963,105 | |||||||||
Large Cap Index Asset Class: |
||||||||||
Blackrock Equity Index Fund F* |
Common Collective Trust 19,768,721 units | 399,130,479 | ||||||||
Northern
Trust Collective S&P 500 Equity Index Fund* |
Common Collective Trust 6,670 units | 24,766,270 | ||||||||
Total Large Cap Index Asset Class |
423,896,749 | |||||||||
Large Cap Value Asset Class: |
||||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 6,203,887 units | 6,203,887 | ||||||||
Northern Trust Collective Russell 1000 Value Index Fund - Non-Lending * |
Common Collective Trust 39,035 units | 6,184,215 | ||||||||
JP Morgan Chase & Company |
Common Stock 56,212 shares | 2,384,513 |
41
Identity of Issue | Description of Investment | Current Value | ||||||||
General Electric Company |
Common Stock 128,258 shares | 2,345,839 | ||||||||
Exxon Mobil Corporation |
Common Stock 29,889 shares | 2,185,484 | ||||||||
Schlumberger Ltd. |
Common Stock 24,082 shares | 2,010,847 | ||||||||
Oracle Corporation |
Common Stock 58,275 shares | 1,824,008 | ||||||||
Wells Fargo & Company |
Common Stock 56,196 shares | 1,741,514 | ||||||||
Bank of America Corporation* |
Common Stock 128,155 shares | 1,709,588 | ||||||||
Comcast Corporation Class A |
Common Stock 76,431 shares | 1,679,189 | ||||||||
Hess Corporation |
Common Stock 20,891 shares | 1,598,997 | ||||||||
PNC Financial Services Group |
Common Stock 25,310 shares | 1,536,823 | ||||||||
Northrop Grumman Corporation |
Common Stock 23,383 shares | 1,514,751 | ||||||||
El Paso Corporation |
Common Stock 109,723 shares | 1,509,788 | ||||||||
Total SA |
Common Stock 28,020 shares | 1,498,510 | ||||||||
AT&T Inc. |
Common Stock 50,734 shares | 1,490,565 | ||||||||
State Street Corporation |
Common Stock 32,165 shares | 1,490,526 | ||||||||
Ameriprise Financial Inc. |
Common Stock 25,765 shares | 1,482,776 | ||||||||
PepsiCo Inc. |
Common Stock 21,794 shares | 1,423,802 | ||||||||
Citigroup Inc. |
Common Stock 299,558 shares | 1,416,909 | ||||||||
Covidien PLC |
Common Stock 30,945 shares | 1,412,949 | ||||||||
Vodafone Group PLC |
Common Stock 51,350 shares | 1,357,181 | ||||||||
Siemens AG |
Common Stock 10,731 shares | 1,333,327 | ||||||||
Air Products & Chemical Inc. |
Common Stock 14,584 shares | 1,326,415 | ||||||||
Legg Mason Inc. |
Common Stock 36,407 shares | 1,320,482 | ||||||||
Chevron Corporation |
Common Stock 14,410 shares | 1,314,913 | ||||||||
Merck & Company Inc. |
Common Stock 35,674 shares | 1,285,691 | ||||||||
Pfizer Inc. |
Common Stock 72,927 shares | 1,276,952 | ||||||||
Applied Materials Inc. |
Common Stock 89,338 shares | 1,255,199 | ||||||||
UnitedHealth Group Inc. |
Common Stock 34,739 shares | 1,254,425 | ||||||||
Medtronic Inc. |
Common Stock 33,416 shares | 1,239,399 | ||||||||
Sanofi-Aventis |
Common Stock 36,969 shares | 1,191,511 | ||||||||
CenturyTel Inc. |
Common Stock 25,349 shares | 1,170,363 | ||||||||
Honeywell International Inc. |
Common Stock 21,667 shares | 1,151,818 | ||||||||
CVS Caremark Corporation |
Common Stock 32,947 shares | 1,145,567 | ||||||||
Coca-Cola Enterprises Inc. |
Common Stock 45,416 shares | 1,136,762 | ||||||||
Consol Energy Inc. |
Common Stock 23,212 shares | 1,131,353 | ||||||||
Travelers Companies Inc. |
Common Stock 20,201 shares | 1,125,398 | ||||||||
US Bancorp |
Common Stock 41,491 shares | 1,119,012 | ||||||||
Cisco Systems Inc. |
Common Stock 55,151 shares | 1,115,705 | ||||||||
Discover Financial Services |
Common Stock 59,966 shares | 1,111,170 | ||||||||
Procter & Gamble Company |
Common Stock 16,873 shares | 1,085,440 | ||||||||
Weyerhaeuser Company |
Common Stock 56,818 shares | 1,075,565 | ||||||||
Bank of New York Mellon Corporation |
Common Stock 34,682 shares | 1,047,396 | ||||||||
Bristol-Myers Squibb Company |
Common Stock 39,448 shares | 1,044,583 | ||||||||
Norfolk Southern Corporation |
Common Stock 16,505 shares | 1,036,844 | ||||||||
Owens-Illinois Inc. |
Common Stock 33,670 shares | 1,033,669 | ||||||||
Unum Group |
Common Stock 41,754 shares | 1,011,282 | ||||||||
MetLife Inc. |
Common Stock 22,648 shares | 1,006,477 | ||||||||
Fifth Third Bancorp |
Common Stock 68,351 shares | 1,003,393 | ||||||||
Johnson Controls Inc. |
Common Stock 26,042 shares | 994,804 | ||||||||
Public Service Enterprise Group Inc. |
Common Stock 31,257 shares | 994,285 |
42
Identity of Issue | Description of Investment | Current Value | ||||||||
eBay Inc. |
Common Stock 35,194 shares | 979,449 | ||||||||
Conagra Foods Inc. |
Common Stock 43,009 shares | 971,143 | ||||||||
Calpine Corporation |
Common Stock 72,391 shares | 965,696 | ||||||||
Lowes Companies Inc. |
Common Stock 38,490 shares | 965,329 | ||||||||
Kellogg Company |
Common Stock 18,768 shares | 958,669 | ||||||||
PPL Corporation |
Common Stock 36,352 shares | 956,785 | ||||||||
Omnicom Group Inc. |
Common Stock 20,005 shares | 916,229 | ||||||||
CBS Corporation Class B |
Common Stock 46,926 shares | 893,940 | ||||||||
Harman International Industries Inc. |
Common Stock 18,569 shares | 859,745 | ||||||||
Viacom Inc. Class B |
Common Stock 21,551 shares | 853,635 | ||||||||
Stanley Black & Decker Inc. |
Common Stock 12,728 shares | 851,121 | ||||||||
Gap Inc. |
Common Stock 37,917 shares | 839,482 | ||||||||
Estee Lauder Companies Inc. Class A |
Common Stock 10,395 shares | 838,877 | ||||||||
Foster Wheeler Ltd. |
Common Stock 22,665 shares | 782,396 | ||||||||
ABB Ltd. |
Common Stock 34,481 shares | 774,098 | ||||||||
AOL Inc. |
Common Stock 30,422 shares | 721,306 | ||||||||
Alere Inc. |
Common Stock 18,740 shares | 685,884 | ||||||||
DIRECTV Class A |
Common Stock 17,076 shares | 681,845 | ||||||||
Hewlett-Packard Company |
Common Stock 15,569 shares | 655,455 | ||||||||
General Motors Company |
Common Stock 15,774 shares | 581,430 | ||||||||
Vulcan Materials Company |
Common Stock 12,962 shares | 574,994 | ||||||||
Goodyear Tire & Rubber Company |
Common Stock 40,508 shares | 480,020 | ||||||||
Total Large Cap Value Asset Class |
98,129,389 | |||||||||
Real Estate Investment Trust (REIT) Asset Class: |
||||||||||
Vanguard Specialized Portfolios REIT Index Fund Institutional Class |
Mutual Fund 4,256,432 units | 51,673,083 | ||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 3,892,936 units | 3,892,936 | ||||||||
Total Real Estate Investment Trust (REIT) Asset Class |
55,566,019 | |||||||||
Participant Self-Directed Accounts |
Various Investments | 115,962,873 | ||||||||
Small-Mid Cap Growth Asset Class: |
||||||||||
Northern Trust Collective Russell 2000 Growth Index Fund - Non-Lending* |
Common Collective Trust 16,224 units | 2,463,832 | ||||||||
Skyworks Solutions Inc. |
Common Stock 58,803 shares | 1,683,530 | ||||||||
Roper Industries Inc. |
Common Stock 14,419 shares | 1,102,044 | ||||||||
Riverbed Technology Inc. |
Common Stock 27,300 shares | 960,141 | ||||||||
Rovi Corporation |
Common Stock 13,367 shares | 828,888 | ||||||||
Reald Inc. |
Common Stock 30,971 shares | 802,768 | ||||||||
Green Mountain Coffee Roasters |
Common Stock 23,691 shares | 778,486 | ||||||||
Affiliated Managers Group Inc. |
Common Stock 7,751 shares | 769,054 | ||||||||
Ametek Inc. |
Common Stock 19,586 shares | 768,751 | ||||||||
United Natural Foods Inc. |
Common Stock 20,106 shares | 737,488 | ||||||||
Entropic Communications Inc. |
Common Stock 55,578 shares | 671,382 | ||||||||
Portfolio Recovery Associates Inc. |
Common Stock 8,871 shares | 667,099 | ||||||||
Shutterfly Inc. |
Common Stock 18,901 shares | 662,102 | ||||||||
Under Armor Inc. |
Common Stock 11,644 shares | 638,557 | ||||||||
Rowan Companies Inc. |
Common Stock 17,624 shares | 615,254 |
43
Identity of Issue | Description of Investment | Current Value | ||||||||
Acme Packet Inc. |
Common Stock 11,123 shares | 591,299 | ||||||||
Transdigm Group Inc. |
Common Stock 8,168 shares | 588,178 | ||||||||
SBA Communications Corporation Class A |
Common Stock 13,872 shares | 567,920 | ||||||||
LogMeIn Inc. |
Common Stock 12,562 shares | 556,999 | ||||||||
Ultimate Software Group Inc. |
Common Stock 11,078 shares | 538,723 | ||||||||
Cooper Companies Inc. |
Common Stock 9,472 shares | 533,652 | ||||||||
Cargo Ceramics Inc. |
Common Stock 5,068 shares | 524,741 | ||||||||
MSCI Inc. Class A |
Common Stock 13,397 shares | 521,947 | ||||||||
Martin Marietta Materials Inc. |
Common Stock 5,500 shares | 507,320 | ||||||||
Sothebys Holdings Inc. Class A |
Common Stock 11,036 shares | 496,620 | ||||||||
Finisar Corporation |
Common Stock 16,519 shares | 490,449 | ||||||||
IPC The Hospitalist Company Inc. |
Common Stock 12,260 shares | 478,263 | ||||||||
Aruba Networks Inc. |
Common Stock 22,883 shares | 477,797 | ||||||||
Vitamin Shoppe Inc. |
Common Stock 14,028 shares | 471,902 | ||||||||
GSI Commerce Inc. |
Common Stock 19,810 shares | 459,592 | ||||||||
Cavium Networks Inc. |
Common Stock 11,913 shares | 448,882 | ||||||||
Monster Worldwide Inc. |
Common Stock 18,678 shares | 441,361 | ||||||||
Atmel Corporation |
Common Stock 35,798 shares | 441,031 | ||||||||
Chipotle Mexican Grill Inc. |
Common Stock 2,054 shares | 436,804 | ||||||||
Robbins & Myers Inc. |
Common Stock 12,150 shares | 434,727 | ||||||||
Wesco International Inc. |
Common Stock 8,062 shares | 425,674 | ||||||||
HMS Holdings Corporation |
Common Stock 6,549 shares | 424,179 | ||||||||
Gartner Inc. |
Common Stock 12,758 shares | 423,566 | ||||||||
Verifone Systems Inc. |
Common Stock 10,639 shares | 410,240 | ||||||||
Brigham Exploration Company |
Common Stock 14,940 shares | 406,966 | ||||||||
SXC Health Solutions Corporation |
Common Stock 9,368 shares | 401,512 | ||||||||
BE Aerospace Inc. |
Common Stock 10,465 shares | 387,519 | ||||||||
Esco Technologies Inc. |
Common Stock 10,212 shares | 386,422 | ||||||||
Zoll Medical Corporation |
Common Stock 10,173 shares | 378,741 | ||||||||
Lufkin Industries Inc. |
Common Stock 5,997 shares | 374,153 | ||||||||
Air Methods Corporation |
Common Stock 6,644 shares | 373,858 | ||||||||
CB Richard Ellis Group Inc. Class A |
Common Stock 18,226 shares | 373,268 | ||||||||
Home Inns & Hotels Management Inc. |
Common Stock 9,005 shares | 368,845 | ||||||||
Netlogic Microsystems Inc. |
Common Stock 11,742 shares | 368,816 | ||||||||
Lululemon Athletica Inc. |
Common Stock 5,171 shares | 353,800 | ||||||||
Acuity Brands Inc |
Common Stock 6,083 shares | 350,807 | ||||||||
Fossil Inc. |
Common Stock 4,881 shares | 344,013 | ||||||||
Forest Oil Corporation |
Common Stock 8,884 shares | 337,325 | ||||||||
Graftech International Ltd. |
Common Stock 16,688 shares | 331,090 | ||||||||
Andigics Inc. |
Common Stock 47,773 shares | 331,067 | ||||||||
OpenTable Inc. |
Common Stock 4,678 shares | 329,705 | ||||||||
AthenaHealth Inc. |
Common Stock 7,952 shares | 325,873 | ||||||||
Cinemark Holdings Inc. |
Common Stock 18,622 shares | 321,043 | ||||||||
Albemarle Corporation |
Common Stock 5,720 shares | 319,062 | ||||||||
Netsuite Inc. |
Common Stock 12,621 shares | 315,525 | ||||||||
Emulex Corporation |
Common Stock 25,695 shares | 299,604 | ||||||||
Northern Oil & Gas Inc. |
Common Stock 10,878 shares | 295,990 | ||||||||
Ulta Salon Cometics & Fragrance Inc |
Common Stock 8,701 shares | 295,834 | ||||||||
VanceInfo Technologies Inc. |
Common Stock 8,445 shares | 291,690 |
44
Identity of Issue | Description of Investment | Current Value | ||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 288,594 units | 288,594 | ||||||||
Oasis Petroleum Inc. |
Common Stock 10,547 shares | 286,035 | ||||||||
Higher One Holdings Inc. |
Common Stock 14,076 shares | 284,757 | ||||||||
Hub Group Inc. Class A |
Common Stock 8,065 shares | 283,404 | ||||||||
Tenneco Inc. |
Common Stock 6,870 shares | 282,769 | ||||||||
Astec Industries Inc. |
Common Stock 8,717 shares | 282,518 | ||||||||
Synchronoss Technologies Inc. |
Common Stock 10,462 shares | 279,440 | ||||||||
SuccessFactors Inc. |
Common Stock 9,549 shares | 276,539 | ||||||||
Triumph Group Inc. |
Common Stock 2,960 shares | 264,654 | ||||||||
WebMD Health Corporation |
Common Stock 5,119 shares | 261,376 | ||||||||
Polypore International Inc. |
Common Stock 6,393 shares | 260,387 | ||||||||
Steven Madden Ltd. |
Common Stock 6,227 shares | 259,790 | ||||||||
Constant Contact Inc. |
Common Stock 8,194 shares | 253,932 | ||||||||
Hibbett Sports Inc. |
Common Stock 6,880 shares | 253,872 | ||||||||
Perkinelmer Inc. |
Common Stock 9,531 shares | 246,090 | ||||||||
MICROS Systems Inc. |
Common Stock 5,557 shares | 243,730 | ||||||||
NxStage Medical Inc. |
Common Stock 9,555 shares | 237,728 | ||||||||
Heico Corporation |
Common Stock 4,636 shares | 236,575 | ||||||||
Igate Corporation |
Common Stock 11,228 shares | 221,304 | ||||||||
American Superconductor Corporation |
Common Stock 7,561 shares | 216,169 | ||||||||
Blackboard Inc. |
Common Stock 5,006 shares | 206,748 | ||||||||
IDEX Corporation |
Common Stock 4,868 shares | 190,436 | ||||||||
Triquint Semiconductor Inc. |
Common Stock 16,280 shares | 190,313 | ||||||||
Fresh Market Inc. |
Common Stock 4,495 shares | 185,194 | ||||||||
51job Inc. |
Common Stock 3,746 shares | 184,491 | ||||||||
Nu Skin Enterprises Inc. Class A |
Common Stock 5,520 shares | 167,035 | ||||||||
Advisory Board Company |
Common Stock 3,237 shares | 154,178 | ||||||||
Total Small-Mid Cap Growth Asset Class |
41,001,828 | |||||||||
Small-Mid Cap Value Asset Class: |
||||||||||
Northern Trust Collective Russell 2000 Value Index Fund - Non-Lending* |
Common Collective Trust 129,284 units | 19,473,575 | ||||||||
Northern Trust Collective Short Term Investment Fund* |
Common Collective Trust 10,999,806 units | 10,999,806 | ||||||||
Griffon Corporation |
Common Stock 276,050 shares | 3,516,877 | ||||||||
CA Inc. |
Common Stock 141,800 shares | 3,465,592 | ||||||||
Valassis Communications Inc. |
Common Stock 106,300 shares | 3,438,805 | ||||||||
Elizabeth Arden Inc. |
Common Stock 148,850 shares | 3,425,039 | ||||||||
Bob Evans Farms Inc. |
Common Stock 102,600 shares | 3,381,696 | ||||||||
Globe Specialty Metals Inc. |
Common Stock 193,650 shares | 3,309,479 | ||||||||
Con-Way Inc. |
Common Stock 80,700 shares | 2,951,199 | ||||||||
Gap Inc. |
Common Stock 130,000 shares | 2,878,200 | ||||||||
Graftech International Ltd. |
Common Stock 143,600 shares | 2,849,024 | ||||||||
Arrow Electronics Inc. |
Common Stock 80,350 shares | 2,751,988 | ||||||||
Teradyne Inc. |
Common Stock 195,300 shares | 2,742,012 | ||||||||
MI Developments Inc. |
Common Stock 99,100 shares | 2,685,610 | ||||||||
Celanese Corporation Series A |
Common Stock 65,100 shares | 2,680,167 | ||||||||
Avnet Inc. |
Common Stock 80,000 shares | 2,642,400 | ||||||||
The Jones Group Inc. |
Common Stock 166,800 shares | 2,592,072 | ||||||||
Coherent Inc. |
Common Stock 55,350 shares | 2,498,499 |
45
Identity of Issue | Description of Investment | Current Value | ||||||||
Hormel Foods Corporation |
Common Stock 47,600 shares | 2,439,976 | ||||||||
MDC Partners Inc. Class A |
Common Stock 141,100 shares | 2,436,797 | ||||||||
Portland General Electric Company |
Common Stock 109,200 shares | 2,369,640 | ||||||||
Brocade Communications Systems Inc. |
Common Stock 439,650 shares | 2,325,749 | ||||||||
Valeant Pharmaceuticals International Inc. |
Common Stock 82,100 shares | 2,322,609 | ||||||||
Geo Group Inc. |
Common Stock 93,000 shares | 2,293,380 | ||||||||
Circor International Inc. |
Common Stock 53,550 shares | 2,264,094 | ||||||||
Kinetic Concepts Inc. |
Common Stock 53,400 shares | 2,236,392 | ||||||||
XL Group PLC |
Common Stock 102,400 shares | 2,234,368 | ||||||||
Edison International |
Common Stock 57,800 shares | 2,231,080 | ||||||||
Northgate Minerals Corporation |
Common Stock 681,600 shares | 2,181,120 | ||||||||
Safeway Inc. |
Common Stock 96,100 shares | 2,161,289 | ||||||||
Belden Inc. |
Common Stock 58,650 shares | 2,159,493 | ||||||||
Meadowbrook Insurance Group Inc. |
Common Stock 205,300 shares | 2,104,325 | ||||||||
Cobalt International Energy Inc. |
Common Stock 170,800 shares | 2,085,468 | ||||||||
Forestar Group Inc. |
Common Stock 107,600 shares | 2,076,680 | ||||||||
Tyco Electronics Ltd. |
Common Stock 58,500 shares | 2,070,900 | ||||||||
Denbury Resources Inc. |
Common Stock 104,700 shares | 1,998,723 | ||||||||
Stancorp Financial Group Inc. |
Common Stock 43,900 shares | 1,981,646 | ||||||||
Western Alliance Bancorporation |
Common Stock 261,150 shares | 1,922,064 | ||||||||
Manpower Inc. |
Common Stock 29,800 shares | 1,870,248 | ||||||||
Chiquita Brands International Inc. |
Common Stock 132,400 shares | 1,856,248 | ||||||||
Great Plains Energy Inc. |
Common Stock 95,300 shares | 1,847,867 | ||||||||
SM Energy Company |
Common Stock 31,350 shares | 1,847,456 | ||||||||
Acergy SA |
Common Stock 75,350 shares | 1,834,019 | ||||||||
Reliance Steel & Aluminum Company |
Common Stock 35,350 shares | 1,806,385 | ||||||||
Regions Financial Corporation |
Common Stock 257,500 shares | 1,802,500 | ||||||||
RehabCare Group Inc. |
Common Stock 75,900 shares | 1,798,830 | ||||||||
Keycorp |
Common Stock 202,600 shares | 1,793,010 | ||||||||
Peoples United Financial Inc. |
Common Stock 127,700 shares | 1,789,077 | ||||||||
Reinsurance Group of America Inc. |
Common Stock 32,950 shares | 1,769,745 | ||||||||
King Pharmaceuticals Inc. |
Common Stock 122,400 shares | 1,719,720 | ||||||||
Discover Financial Services |
Common Stock 92,400 shares | 1,712,172 | ||||||||
Texas Capital Bancshares Inc. |
Common Stock 80,000 shares | 1,701,600 | ||||||||
NXP Semiconductors |
Common Stock 81,100 shares | 1,697,423 | ||||||||
Treehouse Foods Inc. |
Common Stock 32,750 shares | 1,673,198 | ||||||||
Temple-Inland Inc. |
Common Stock 78,550 shares | 1,668,402 | ||||||||
Gardner Denver Inc. |
Common Stock 24,200 shares | 1,665,444 | ||||||||
Super Valu Inc. |
Common Stock 172,900 shares | 1,665,027 | ||||||||
CNO Financial Group Inc. |
Common Stock 243,800 shares | 1,652,964 | ||||||||
Genworth Financial Inc. Class A |
Common Stock 124,000 shares | 1,629,360 | ||||||||
Rent-A-Center Inc. |
Common Stock 50,400 shares | 1,626,912 | ||||||||
Sun Trust Banks Inc. |
Common Stock 55,100 shares | 1,626,001 | ||||||||
Scorpio Tankers Inc. |
Common Stock 157,900 shares | 1,596,369 | ||||||||
FTI Consulting Inc. |
Common Stock 41,500 shares | 1,547,120 | ||||||||
Aurizon Mines Ltd. |
Common Stock 208,700 shares | 1,527,684 | ||||||||
Stone Energy Corporation |
Common Stock 66,800 shares | 1,488,972 | ||||||||
PHH Corporation |
Common Stock 63,100 shares | 1,460,765 | ||||||||
Allied World Assurance Company Holdings |
Common Stock 23,850 shares | 1,417,644 |
46
Identity of Issue | Description of Investment | Current Value | ||||||||
Inverness Medical Innovations Inc. |
Common Stock 38,400 shares | 1,405,440 | ||||||||
Aegean Marine Petroleum Network Inc. |
Common Stock 133,400 shares | 1,391,362 | ||||||||
Fifth Third Bancorp |
Common Stock 94,500 shares | 1,387,260 | ||||||||
J.C. Penney Company Inc. |
Common Stock 42,600 shares | 1,376,406 | ||||||||
ON Semiconductor Corporation |
Common Stock 139,100 shares | 1,374,308 | ||||||||
Northwest Bancshares Inc. |
Common Stock 115,650 shares | 1,360,044 | ||||||||
Harsco Corporation |
Common Stock 45,900 shares | 1,299,888 | ||||||||
Cathay General Bancorp Inc. |
Common Stock 74,500 shares | 1,244,150 | ||||||||
Orbital Sciences Corporation |
Common Stock 72,350 shares | 1,239,356 | ||||||||
Arris Group Inc. |
Common Stock 110,000 shares | 1,234,200 | ||||||||
Goodyear Tire & Rubber Company |
Common Stock 104,100 shares | 1,233,585 | ||||||||
Intrepid Potash Inc. |
Common Stock 32,550 shares | 1,213,790 | ||||||||
Del Monte Foods Company |
Common Stock 63,700 shares | 1,197,560 | ||||||||
Hanover Insurance Group Inc. |
Common Stock 25,250 shares | 1,179,680 | ||||||||
Hartford Financial Services Group Inc. |
Common Stock 44,100 shares | 1,168,209 | ||||||||
ICU Medical Inc. |
Common Stock 31,900 shares | 1,164,350 | ||||||||
Wausau Paper Corporation |
Common Stock 134,783 shares | 1,160,482 | ||||||||
Digital River Inc. |
Common Stock 33,300 shares | 1,146,186 | ||||||||
Aspen Insurance Holdings |
Common Stock 38,100 shares | 1,090,422 | ||||||||
Allstate Corporation |
Common Stock 32,000 shares | 1,020,160 | ||||||||
Embraer SA |
Common Stock 34,300 shares | 1,008,420 | ||||||||
Delphi Financial Group Inc. Class A |
Common Stock 34,800 shares | 1,003,632 | ||||||||
Wabash National Corporation |
Common Stock 83,100 shares | 984,735 | ||||||||
Wesco International Inc. |
Common Stock 18,650 shares | 984,720 | ||||||||
Royal Gold Inc. |
Common Stock 18,000 shares | 983,340 | ||||||||
Digi International Inc. |
Common Stock 87,500 shares | 971,250 | ||||||||
Middleby Corporation |
Common Stock 11,500 shares | 970,830 | ||||||||
Swift Transportation Company Class A |
Common Stock 76,800 shares | 960,768 | ||||||||
Libbey Inc. |
Common Stock 62,000 shares | 959,140 | ||||||||
Assisted Living Concepts Inc. Class A |
Common Stock 29,300 shares | 953,129 | ||||||||
FBR Capital Markets Corporation |
Common Stock 249,000 shares | 951,180 | ||||||||
Aeroflex Holding Corporation |
Common Stock 56,400 shares | 927,780 | ||||||||
Tutor Perini Corporation |
Common Stock 41,400 shares | 886,374 | ||||||||
Boston Private Financial Holdings Inc. |
Common Stock 134,000 shares | 877,700 | ||||||||
Timken Company |
Common Stock 18,350 shares | 875,846 | ||||||||
Petroquest Energy Inc. |
Common Stock 114,200 shares | 859,926 | ||||||||
Assurant Inc. |
Common Stock 21,800 shares | 839,736 | ||||||||
CDC Software Corporation |
Common Stock 132,800 shares | 833,984 | ||||||||
Validus Holding Ltd. |
Common Stock 27,200 shares | 832,592 | ||||||||
Capital One Financial Corporation |
Common Stock 19,500 shares | 829,920 | ||||||||
Radian Group Inc. |
Common Stock 98,900 shares | 798,123 | ||||||||
Hackett Group Inc. |
Common Stock 223,200 shares | 783,432 | ||||||||
Viewpoint Financial Group Inc. |
Common Stock 66,540 shares | 777,853 | ||||||||
Highwoods Properties Inc. |
Common Stock 24,300 shares | 773,955 | ||||||||
Lorillard Inc. |
Common Stock 9,300 shares | 763,158 | ||||||||
Teleflex Inc. |
Common Stock 14,100 shares | 758,721 | ||||||||
Accuray Inc. |
Common Stock 112,300 shares | 758,025 | ||||||||
Penske Automotive Group Inc. |
Common Stock 42,800 shares | 745,576 | ||||||||
Willis Group Holdings |
Common Stock 21,350 shares | 739,351 |
47
Identity of Issue | Description of Investment | Current Value | ||||||||
WSFS Financial Corporation |
Common Stock 15,500 shares | 735,320 | ||||||||
National Penn Bancshares Inc. |
Common Stock 91,300 shares | 733,139 | ||||||||
Airtran Holdings Inc. |
Common Stock 99,000 shares | 731,610 | ||||||||
Nelnet Inc. Class A |
Common Stock 30,700 shares | 727,283 | ||||||||
SCBT Financial Corporation |
Common Stock 22,000 shares | 720,500 | ||||||||
Ciber Inc. |
Common Stock 153,600 shares | 718,848 | ||||||||
Home Bancshares Inc. |
Common Stock 32,550 shares | 717,077 | ||||||||
National Semiconductor Corporation |
Common Stock 51,900 shares | 714,144 | ||||||||
Brown Shoe Company Inc. |
Common Stock 51,200 shares | 713,216 | ||||||||
Maiden Holdings Ltd. |
Common Stock 89,100 shares | 700,326 | ||||||||
Packaging Corporation of America |
Common Stock 26,450 shares | 683,468 | ||||||||
Matrix Service Company |
Common Stock 55,500 shares | 675,990 | ||||||||
Synovus Financial Corporation |
Common Stock 255,500 shares | 674,520 | ||||||||
Beacon Roofing Supply Inc. |
Common Stock 36,900 shares | 659,403 | ||||||||
Washington Real Estate Investment Trust |
Common Stock 20,400 shares | 632,196 | ||||||||
Alterra Capital Holdings Inc. |
Common Stock 28,600 shares | 618,904 | ||||||||
Campus Crest Communities Inc. |
Common Stock 44,100 shares | 618,282 | ||||||||
Starwood Property Trust Inc. |
Common Stock 28,700 shares | 616,476 | ||||||||
Providence Service Corporation |
Common Stock 38,100 shares | 612,267 | ||||||||
Celadon Group Inc. |
Common Stock 41,200 shares | 609,348 | ||||||||
Chimera Investment Corporation |
Common Stock 140,700 shares | 578,277 | ||||||||
Magna International Inc. Class A |
Common Stock 11,000 shares | 572,000 | ||||||||
First Horizon National Corporation |
Common Stock 48,500 shares | 571,330 | ||||||||
UIL Corporation |
Common Stock 19,000 shares | 569,240 | ||||||||
Simmons First National Corporation Class A |
Common Stock 19,500 shares | 555,750 | ||||||||
Casual Male Retail Group Inc. |
Common Stock 116,100 shares | 550,314 | ||||||||
Renasant Corporation |
Common Stock 32,000 shares | 541,120 | ||||||||
Colbs Mckinnon Corporation NY |
Common Stock 26,000 shares | 528,320 | ||||||||
Interpublic Group Companies Inc. |
Common Stock 49,600 shares | 526,752 | ||||||||
Bancorp Rhode Island Inc. |
Common Stock 18,000 shares | 523,620 | ||||||||
THL Credit Inc. |
Common Stock 40,100 shares | 521,701 | ||||||||
Medical Action Industries Inc. |
Common Stock 54,090 shares | 518,182 | ||||||||
American Campus Communities Inc. |
Common Stock 16,100 shares | 511,336 | ||||||||
RTI International Metals Inc. |
Common Stock 18,600 shares | 501,828 | ||||||||
Newpark Resources Inc. |
Common Stock 81,200 shares | 500,192 | ||||||||
Stealthgas Inc. |
Common Stock 62,300 shares | 496,531 | ||||||||
Goodrich Petroleum Corporation |
Common Stock 26,600 shares | 469,224 | ||||||||
Plantronics Inc. |
Common Stock 12,100 shares | 450,362 | ||||||||
Lakeland Industries Inc. |
Common Stock 49,400 shares | 432,250 | ||||||||
Chatham Lodging Trust |
Common Stock 25,000 shares | 431,250 | ||||||||
Generac Holdings Inc. |
Common Stock 26,600 shares | 430,122 | ||||||||
Stifel Financial Corporation |
Common Stock 6,724 shares | 417,157 | ||||||||
Terex Corporation |
Common Stock 13,400 shares | 415,936 | ||||||||
Trinity Industries Inc. |
Common Stock 15,600 shares | 415,116 | ||||||||
Exactech Inc. |
Common Stock 22,000 shares | 414,040 | ||||||||
Dole Food Company Inc. |
Common Stock 30,400 shares | 410,704 | ||||||||
Novell Inc. |
Common Stock 69,200 shares | 409,664 | ||||||||
Approach Resources Inc. |
Common Stock 17,300 shares | 399,630 | ||||||||
PPL Corporation |
Common Stock 14,700 shares | 386,904 |
48
Identity of Issue | Description of Investment | Current Value | ||||||||
Americas Car-Mart Inc. |
Common Stock 14,200 shares | 384,536 | ||||||||
Harley Davidson |
Common Stock 11,000 shares | 381,370 | ||||||||
Zimmer Holdings Inc. |
Common Stock 7,100 shares | 381,128 | ||||||||
Pool Corporation |
Common Stock 16,900 shares | 380,926 | ||||||||
Neutral Tandem Inc. |
Common Stock 26,000 shares | 375,440 | ||||||||
Zoran Corporation |
Common Stock 42,300 shares | 372,240 | ||||||||
Symantec Corporation |
Common Stock 22,000 shares | 368,280 | ||||||||
Alliant Techsystems Inc. |
Common Stock 4,800 shares | 357,264 | ||||||||
Shoe Carnival Inc. |
Common Stock 13,200 shares | 356,400 | ||||||||
PPG Industries Inc. |
Common Stock 4,200 shares | 353,094 | ||||||||
Lifepoint Hospitals Inc. |
Common Stock 9,500 shares | 349,125 | ||||||||
California Water Service Group |
Common Stock 9,300 shares | 346,611 | ||||||||
Dupont Fabros Technical Inc. REIT |
Common Stock 16,200 shares | 344,574 | ||||||||
Granite Construction Inc. |
Common Stock 12,400 shares | 340,132 | ||||||||
Nicor Inc. |
Common Stock 6,800 shares | 339,456 | ||||||||
Vectren Corporation |
Common Stock 13,300 shares | 337,554 | ||||||||
Mantech International Corporation Class A |
Common Stock 8,100 shares | 334,773 | ||||||||
Essa Bancorp Inc. |
Common Stock 24,700 shares | 326,534 | ||||||||
RPM International Inc. |
Common Stock 14,500 shares | 320,450 | ||||||||
United Financial Bancorp Inc. |
Common Stock 20,500 shares | 313,035 | ||||||||
Home Federal Bancorp Inc. |
Common Stock 25,300 shares | 310,431 | ||||||||
Kennedy-Wilson Holdings Inc. |
Common Stock 30,100 shares | 300,699 | ||||||||
Encore Bancshares Inc. |
Common Stock 26,200 shares | 268,812 | ||||||||
New Frontier Media Inc. |
Common Stock 153,600 shares | 262,656 | ||||||||
Air Transport Services Group Inc. |
Common Stock 31,200 shares | 246,480 | ||||||||
AMN Healthcare Services Inc. |
Common Stock 37,000 shares | 227,180 | ||||||||
UGI Corporation |
Common Stock 7,100 shares | 224,218 | ||||||||
Bridgepoint Education Inc. |
Common Stock 10,600 shares | 201,400 | ||||||||
US Airways Group Inc. |
Common Stock 19,300 shares | 193,193 | ||||||||
Graham Packaging Company Inc. |
Common Stock 14,800 shares | 192,992 | ||||||||
Healthways Inc. |
Common Stock 17,100 shares | 190,836 | ||||||||
Global Geophysical Services |
Common Stock 18,300 shares | 189,954 | ||||||||
Delek US Holdings Inc. |
Common Stock 25,900 shares | 188,552 | ||||||||
LECG Corporation |
Common Stock 130,600 shares | 180,228 | ||||||||
Republic Airways Holdings Inc. |
Common Stock 24,200 shares | 177,144 | ||||||||
Global Power Equipment Group Inc. |
Common Stock 6,900 shares | 160,080 | ||||||||
Geomet Inc. |
Common Stock 135,310 shares | 155,607 | ||||||||
Gomet Inc. |
Convertible Equity 13,767 shares | 142,488 | ||||||||
Buckeye Technologies Inc. |
Common Stock 6,300 shares | 132,363 | ||||||||
Westar Energy Inc. |
Common Stock 5,200 shares | 130,832 | ||||||||
eResearch Technology Inc. |
Common Stock 17,500 shares | 128,625 | ||||||||
Electronics For Imaging Inc. |
Common Stock 6,400 shares | 91,584 | ||||||||
Mistras Group Inc. |
Common Stock 6,300 shares | 84,924 | ||||||||
Great American Group Inc. |
Common Stock 155,400 shares | 76,146 | ||||||||
Global Indemnity PLC |
Common Stock 3,000 shares | 61,350 | ||||||||
Capitol Federal Financial Inc. |
Common Stock 1,600 shares | 19,056 | ||||||||
Total Small-Mid Cap Value Asset Class |
260,811,950 |
49
Identity of Issue | Description of Investment | Current Value | ||||||||
Small-Mid Cap Index Asset Class: |
||||||||||
Blackrock Extended Equity Market Fund F* |
Common Collective Trust 4,735,096 units | 136,228,720 | ||||||||
Northern Trust Collective Extended Equity Market Index Fund - Lending* |
Common Collective Trust 18,747 units | 5,787,466 | ||||||||
Total Small-Mid Cap Index Asset Class |
142,016,186 | |||||||||
Other: |
||||||||||
BIF Money Fund |
Cash and Short Term Investments | 785,421 | ||||||||
Notes Receivable from Participants* |
Interest rates 4.25% - 11.00% | 39,056,821 | ||||||||
$ | 2,506,465,714 | |||||||||
* | Indicates party-in-interest |
50
Proceeds of | ||||||
Identity of Issue | Description of Investment | Dispositions | ||||
Henkel AG & Company |
Preferred Stock 34,800 shares | $ | 1,976,906 | |||
Compass Group |
Common Stock 207,430 shares | 1,779,527 | ||||
Air Liquide |
Common Stock 13,184 shares | 1,605,035 | ||||
Oversea-Chinese Banking Corporation |
Common Stock 213,830 shares | 1,483,447 | ||||
SAP AG |
Common Stock 28,100 shares | 1,461,626 | ||||
Mitsui O.S.K. Lines |
Common Stock 201,000 shares | 1,310,966 | ||||
SABMiller PLC |
Common Stock 39,370 shares | 1,252,221 | ||||
Rolls Royce Group |
Common Stock 130,510 shares | 1,250,167 | ||||
Canadian Natural Resources |
Common Stock 30,600 shares | 1,009,678 | ||||
Wolseley |
Common Stock 46,200 shares | 972,172 | ||||
Adecco SA |
Common Stock 20,390 shares | 966,752 | ||||
Carnival PLC |
Common Stock 27,270 shares | 960,184 | ||||
Rogers Communications Inc. Class B |
Common Stock 26,200 shares | 953,514 | ||||
Tenaris SA |
Common Stock 45,830 shares | 942,285 | ||||
Lloyds Banking Group Ltd. |
Common Stock 803,600 shares | 888,040 | ||||
Central Japan Railway Company |
Common Stock 117 shares | 876,145 | ||||
Nitto Denko Corporation |
Common Stock 22,800 shares | 869,283 | ||||
Toronto-Dominion Bank |
Common Stock 11,650 shares | 853,417 | ||||
Wesfarmers Ltd. |
Common Stock 33,720 shares | 851,540 | ||||
Yamaha Motor Company |
Common Stock 56,400 shares | 828,529 | ||||
China Mobile Ltd. |
Common Stock 77,500 shares | 776,888 | ||||
Nidec Corporation |
Common Stock 8,900 shares | 763,565 | ||||
BG Group PLC |
Common Stock 44,720 shares | 733,126 | ||||
Yara International |
Common Stock 20,300 shares | 712,820 | ||||
InterContinental Hotels Group |
Common Stock 37,240 shares | 665,527 | ||||
Makita Corporation |
Common Stock 20,600 shares | 646,518 | ||||
Mediaset SpA |
Common Stock 111,090 shares | 638,397 | ||||
Alfa Laval AB |
Common Stock 31,440 shares | 550,420 | ||||
Olympus Corporation |
Common Stock 20,500 shares | 543,809 | ||||
Rhodia |
Common Stock 20,280 shares | 529,511 | ||||
Bank of China Hong Kong Holdings |
Common Stock 195,000 shares | 449,292 | ||||
Charoen Pok Foods |
Common Stock 837,800 shares | 445,334 | ||||
Keyence Corporation |
Common Stock 1,900 shares | 421,373 | ||||
NSK Ltd. |
Common Stock 62,000 shares | 401,281 | ||||
Petrobakken Energy Company Class A |
Common Stock 20,400 shares | 376,280 | ||||
Republic of Greece 6.1% Due 8/20/2015 |
Government Bonds 330,000 units | 357,300 | ||||
Incitec Pivot |
Common Stock 138,400 shares | 339,348 | ||||
GE Commercial Mortgage Corporation Series 2007-C1 Pass-Through Due 12/10/2049 |
Commercial Mortgage Backed 230,000 units | 213,918 | ||||
Bank America Corporation 7.625% Due 6/1/2019* |
Corporate Bonds 150,000 units | 170,154 | ||||
Lloyds TSB Bank PLC 4.375% Due 1/12/2015 |
Corporate Bonds 170,000 units | 167,681 | ||||
Bank of Tokyo-Mitsubishi UFJ 3.85% Due 1/22/2015 |
Corporate Bonds 150,000 units | 152,940 | ||||
Lloyds TSB Bank PLC 5.8% Due 1/13/2020 |
Corporate Bonds 140,000 units | 136,049 |
51
Proceeds of | ||||||
Identity of Issue | Description of Investment | Dispositions | ||||
Merrill Lynch & Company Inc. Trust # 00642 6.05% Due 8/15/2012* |
Corporate Bonds 120,000 units | 128,028 | ||||
Bank America Corporation 7.4% Due 1/15/2011* |
Corporate Bonds 120,000 units | 122,306 | ||||
Avis Budget Group, Inc. 4.64% Due 5/20/2015 |
Asset Backed Securities 110,000 units | 110,192 | ||||
America Movil 5% Due 3/30/2020 |
Corporate Bonds 100,000 units | 98,300 | ||||
Santander US Debt, SA Unipersonal 3.724% Due 1/20/2015 |
Corporate Bonds 100,000 units | 97,766 | ||||
Indorama Ventures |
Common Stock 78,800 shares | 95,906 | ||||
Ball Corporation 6.75% Due 9/15/2020 |
Corporate Bonds 70,000 units | 71,505 | ||||
Washington Mutual Mortgage Pass-Through Series 2007-0A Variable Rate |
Collateralized Mortgage Obligations 111,694 units | 64,224 | ||||
Medtronic Inc. 4.45% Due 3/15/2020 |
Corporate Bonds 60,000 units | 60,280 | ||||
Anheuser-Busch InBev Due 4/15/2020 |
Corporate Bonds 50,000 units | 50,168 | ||||
Municipal Electric Authority of Georgia 6.637% Due 4/1/2057 |
Municipal/Provincial Bonds 50,000 units | 49,450 | ||||
Nisource Finance Corporation 10.75% Due 3/15/2016 |
Corporate Bonds 35,000 units | 46,799 | ||||
Northrop Grumman 7.75% Due 03/1/2016 |
Corporate Bonds 25,000 units | 32,605 | ||||
Municipal Electric Authority of Georgia 6.655% Due 4/1/2057 |
Municipal/Provincial Bonds 30,000 units | 29,670 | ||||
National Semiconductor 6.6% Due 6/15/2017 |
Corporate Bonds 20,000 units | 21,630 |
* | Indicates party-in-interest |
52
Detailed description of loan including dates | ||||||||||||||
Original | of making and maturity, interest rate, the | |||||||||||||
amount of | Unpaid balance | type and value of collateral, any | ||||||||||||
loan | at end of year | renegotiation of the loan and the terms of | Amount of | |||||||||||
(cost of | (fair value of | the renegotiation and other material items | Interest | |||||||||||
Identity of Obligor | security) | security) | (description of fixed income obligation) | Overdue | ||||||||||
Kaupthing Bank |
$ | 259,613 | $ | 82,925 | Corporate bonds 310,000 units 7.625% due 12/31/2040 | $ | 47,725 | |||||||
Glitnir Banki HF |
99,776 | 29,750 | Corporate bonds 100,000 units 6.375% due 9/25/2012 | 12,750 | ||||||||||
Lehman Brothers
Holdings Inc. |
29,975 | 6,938 | Corporate bonds 30,000 units 6.2% due 9/26/2014 | 1,860 | ||||||||||
Lehman Brothers
Holdings Inc. |
167,256 | 18 | Corporate bonds 180,000 units 6.5% due 7/19/2017 | 23,400 | ||||||||||
Lehman Brothers
Holdings Inc. |
129,904 | 13 | Corporate bonds 130,000 units 6.75% due 12/28/2017 | 21,938 | ||||||||||
Lehman Brothers
Holdings Inc. |
9,018 | 1 | Corporate bonds 10,000 units 5.857% perpetual | 1,464 |
53
Amgen Retirement and Savings Plan (Name of Plan) |
|||||||
Date:
|
June 23, 2011 | By: | /s/ JONATHAN M. PEACOCK |
||||
Jonathan M. Peacock Executive Vice President and Chief Financial Officer Amgen Inc. |
54