x | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
¨ | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
A. | Full title of the plan and address of the plan, if different from that of the issuer named below: |
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
State Auto Insurance Companies Amended and Restated Directors Deferred Compensation Plan | ||
By: | /s/ Steven E. English | |
Steven E. English | ||
Senior Vice President, Chief Financial Officer | ||
By: | /s/ Melissa A. Centers | |
Melissa A. Centers | ||
Senior Vice President, Secretary and General Counsel |
December 31 | ||||||||
2015 | 2014 | |||||||
Assets | ||||||||
Investments, at fair value: | ||||||||
Shares of registered investment companies (cost $7,371,771 and $6,736,798, respectively) | $ | 7,259,761 | $ | 6,881,208 | ||||
Interest-bearing cash | 9,442 | 9,440 | ||||||
Affiliated stock (cost $351,113 and $342,765, respectively) | 434,508 | 460,823 | ||||||
Total investments | 7,703,711 | 7,351,471 | ||||||
Net assets available for benefits | $ | 7,703,711 | $ | 7,351,471 |
Year Ended December 31 | ||||||||||||
2015 | 2014 | 2013 | ||||||||||
Investment income: | ||||||||||||
Dividends | $ | 323,064 | $ | 354,302 | $ | 176,700 | ||||||
Unrealized (losses) gains | (291,083 | ) | (501,032 | ) | 688,218 | |||||||
Realized (losses) gains | (1,607 | ) | 493,505 | 131,620 | ||||||||
Total investment income | $ | 30,374 | $ | 346,775 | $ | 996,538 | ||||||
Contributions: | ||||||||||||
Participant | $ | 364,305 | $ | 403,375 | $ | 443,375 | ||||||
Company | 282,750 | 350,000 | 400,000 | |||||||||
Total contributions | $ | 647,055 | $ | 753,375 | $ | 843,375 | ||||||
Deductions: | ||||||||||||
Benefit payments | $ | 325,189 | $ | 212,190 | $ | 123,380 | ||||||
Total deductions | $ | 325,189 | $ | 212,190 | $ | 123,380 | ||||||
Net increase | $ | 352,240 | $ | 887,960 | $ | 1,716,533 | ||||||
Net assets available for benefits: | ||||||||||||
Beginning of year | $ | 7,351,471 | $ | 6,463,511 | $ | 4,746,978 | ||||||
End of year | $ | 7,703,711 | $ | 7,351,471 | $ | 6,463,511 |
• | Level 1 includes observable inputs which reflect quoted prices for identical assets or liabilities in active markets at the measurement date. |
• | Level 2 includes observable inputs for assets or liabilities other than quoted prices included in Level 1, and it includes valuation techniques which use prices for similar assets and liabilities. |
• | Level 3 includes unobservable inputs which reflect the reporting entity’s estimates of the assumptions that market participants would use in pricing the asset or liability (including assumptions about risk). |
• | Registered investment companies: Registered investment companies are public investment vehicles valued using net asset value (“NAV”) provided by the administrator of the mutual fund. The NAV is an unadjusted quoted price on an active market and classified within Level 1 of the fair value hierarchy. |
• | Interest-bearing cash: The carrying value approximates fair value and is classified within Level 1 of the fair value hierarchy. |
• | Affiliated stock: The fair value is based on the unadjusted closing price reported on the active market on which the security is traded and is classified within Level 1 of the fair value hierarchy. |
2015 | Total | Quoted prices in active markets for identical assets (Level 1) | Significant other observable inputs (Level 2) | Significant unobservable inputs (Level 3) | |||||
Registered investment companies: | |||||||||
Large cap equity investments | $ | 1,934,493 | 1,934,493 | — | — | ||||
Mid cap equity investments | 683,595 | 683,595 | — | — | |||||
Small cap equity investments | 11,779 | 11,779 | — | — | |||||
International equity investments | 1,124,359 | 1,124,359 | — | — | |||||
Blended fund investments | 2,477,353 | 2,477,353 | — | — | |||||
Income bond investments | 1,028,182 | 1,028,182 | — | — | |||||
Total registered investment companies | $ | 7,259,761 | 7,259,761 | — | — | ||||
Interest-bearing cash | 9,442 | 9,442 | — | — | |||||
Affiliated stock | 434,508 | 434,508 | — | — | |||||
Total investments | $ | 7,703,711 | 7,703,711 | — | — |
2014 | Total | Quoted prices in active markets for identical assets (Level 1) | Significant other observable inputs (Level 2) | Significant unobservable inputs (Level 3) | |||||
Registered investment companies: | |||||||||
Large cap equity investments | $ | 1,403,618 | 1,403,618 | — | — | ||||
Mid cap equity investments | 725,773 | 725,773 | — | — | |||||
Small cap equity investments | 14,132 | 14,132 | — | — | |||||
International equity investments | 1,065,901 | 1,065,901 | — | — | |||||
Blended fund investments | 2,534,507 | 2,534,507 | — | — | |||||
Income bond investments | 1,137,277 | 1,137,277 | — | — | |||||
Total registered investment companies | $ | 6,881,208 | 6,881,208 | — | — | ||||
Interest-bearing cash | 9,440 | 9,440 | — | — | |||||
Affiliated stock | 460,823 | 460,823 | — | — | |||||
Total investments | $ | 7,351,471 | 7,351,471 | — | — |
2015 | ||||||||||
Investment Options: | Total Number of Shares | Net Asset Share Value | Number of Participants | |||||||
Registered investment companies: | ||||||||||
ABF Small Cap Val Inst | 524 | $ | 22.46 | 1 | ||||||
Baron Growth Inst | 7,801 | 64.31 | 3 | |||||||
FID Contrafund K | 9,198 | 98.88 | 7 | |||||||
MFS Value R5 | 4,643 | 32.79 | 1 | |||||||
FID Total Bond | 100,213 | 10.26 | 10 | |||||||
TRP Blue Chip Growth | 8,502 | 72.38 | 3 | |||||||
MFS Inst Intl Equity | 54,687 | 20.56 | 11 | |||||||
Spartan 500 Index Inst | 3,584 | 71.81 | 4 | |||||||
Spartan EXT Mkt IDX ADV | 3,624 | 50.20 | 7 | |||||||
VANG Target RET 2010 | 40,118 | 24.88 | 4 | |||||||
VANG Target RET 2015 | 4,056 | 14.23 | 1 | |||||||
VANG Target RET 2020 | 11,482 | 27.15 | 1 | |||||||
VANG Target RET 2025 | 61,444 | 15.62 | 3 | |||||||
VANG Target RET INC | 12,048 | 12.45 | 1 | |||||||
Total registered investment companies | 321,924 | |||||||||
Interest-bearing cash: | ||||||||||
FID Govt MMRK PRM | 9,442 | 1.00 | 1 | |||||||
Total interest-bearing cash | 9,442 | |||||||||
Affiliated stock: | ||||||||||
State Auto Financial Corporation | 21,103 | 20.59 | 1 | |||||||
Total affiliated stock | 21,103 | |||||||||
Total investments | 352,469 |
2014 | ||||||||||
Investment Options: | Total Number of Shares | Net Asset Share Value | Number of Participants | |||||||
Registered investment companies: | ||||||||||
ABF Small Cap Val Inst | 564 | $ | 25.07 | 1 | ||||||
Baron Growth Inst | 6,934 | 73.24 | 3 | |||||||
FID Contrafund K | 8,072 | 97.90 | 6 | |||||||
MFS Value R5 | 3,775 | 34.94 | 1 | |||||||
PIM Total RT Inst | 106,686 | 10.66 | 6 | |||||||
TRP Blue Chip Growth | 3,748 | 67.27 | 2 | |||||||
MFS Inst Intl Equity | 50,976 | 20.91 | 7 | |||||||
Spartan 500 Index Inst | 3,148 | 72.86 | 4 | |||||||
Spartan EXT Mkt IDX ADV | 3,950 | 55.18 | 3 | |||||||
VANG Target RET 2010 | 37,895 | 26.32 | 3 | |||||||
VANG Target RET 2015 | 1,975 | 15.29 | 1 | |||||||
VANG Target RET 2020 | 28,423 | 28.46 | 1 | |||||||
VANG Target RET 2025 | 31,528 | 16.53 | 3 | |||||||
VANG Target RET INC | 13,698 | 12.91 | 1 | |||||||
Total registered investment companies | 301,372 | |||||||||
Interest-bearing cash: | ||||||||||
Fidelity US Govt Bond | 9,440 | 1.00 | 1 | |||||||
Total interest-bearing cash | 9,440 | |||||||||
Affiliated stock: | ||||||||||
State Auto Financial Corporation | 20,739 | 22.22 | 1 | |||||||
Total affiliated stock | 20,739 | |||||||||
Total investments | 331,551 |
2015 | Number of Shares | Fair Value | Dividends | Realized Gain (Loss) | Unrealized Gain (Loss) | Contributions | Benefit Payments | |||||||||||||
Registered investment companies: | ||||||||||||||||||||
ABF Small Cap Val Inst | 524 | $ | 11,779 | $ | 668 | $ | 236 | $ | (1,528 | ) | $ | — | $ | (1,729 | ) | |||||
Baron Growth Inst | 7,801 | 501,655 | 43,195 | 407 | (64,899 | ) | 16,875 | (1,746 | ) | |||||||||||
FID Contrafund K | 9,198 | 909,505 | 46,572 | 4,001 | 2,553 | 27,630 | (18,461 | ) | ||||||||||||
MFS Value R5 | 4,643 | 152,238 | 8,819 | 148 | (9,809 | ) | 21,198 | — | ||||||||||||
PIM Total RT Inst | — | — | 506 | (13,178 | ) | 33,448 | — | — | ||||||||||||
FID Total Bond | 100,213 | 1,028,182 | 38,252 | (2,794 | ) | (55,186 | ) | 49,222 | (159,363 | ) | ||||||||||
TRP Blue Chip Growth | 8,502 | 615,367 | 19,423 | 366 | 22,850 | 20,625 | — | |||||||||||||
MFS Inst Intl Equity | 54,687 | 1,124,359 | 18,901 | 379 | (22,366 | ) | 82,161 | (20,618 | ) | |||||||||||
Spartan 500 Index Inst | 3,584 | 257,384 | 6,909 | 179 | (4,026 | ) | 27,630 | (2,646 | ) | |||||||||||
Spartan EXT Mkt IDX ADV | 3,624 | 181,940 | 11,458 | 92 | (17,072 | ) | — | (30,487 | ) | |||||||||||
VANG Target RET 2010 | 40,118 | 998,142 | 52,934 | 889 | (55,728 | ) | 65,925 | (63,270 | ) | |||||||||||
VANG Target RET 2015 | 4,056 | 57,720 | 3,778 | 366 | (4,387 | ) | 84,675 | — | ||||||||||||
VANG Target RET 2020 | 11,482 | 311,737 | 12,418 | 4,647 | (11,356 | ) | 97,122 | — | ||||||||||||
VANG Target RET 2025 | 61,444 | 959,751 | 45,558 | 2,591 | (63,549 | ) | 153,992 | — | ||||||||||||
VANG Target RET INC | 12,048 | 150,002 | 5,325 | 64 | (5,365 | ) | — | (26,869 | ) | |||||||||||
Total registered investment companies | 321,924 | 7,259,761 | 314,716 | (1,607 | ) | (256,420 | ) | 647,055 | (325,189 | ) | ||||||||||
Interest-bearing cash: | ||||||||||||||||||||
FID Govt MMRK PRM | 9,442 | 9,442 | — | — | — | — | — | |||||||||||||
Total interest-bearing cash | 9,442 | 9,442 | — | — | — | — | — | |||||||||||||
Affiliated stock: | ||||||||||||||||||||
State Auto Financial Corporation | 21,103 | 434,508 | 8,348 | — | (34,663 | ) | — | — | ||||||||||||
Total affiliated stock | 21,103 | 434,508 | 8,348 | — | (34,663 | ) | — | — | ||||||||||||
Total assets held for investment | 352,469 | $ | 7,703,711 | $ | 323,064 | $ | (1,607 | ) | $ | (291,083 | ) | $ | 647,055 | $ | (325,189 | ) |
2014 | Number of Shares | Fair Value | Dividends | Realized Gain (Loss) | Unrealized Gain (Loss) | Contributions | Benefit Payments | |||||||||||||
Registered investment companies: | ||||||||||||||||||||
ABF Small Cap Val Inst | 564 | $ | 14,133 | $ | 1,692 | $ | 357 | $ | (1,401 | ) | $ | — | $ | (1,662 | ) | |||||
Baron Growth Inst | 6,934 | 507,824 | 21,401 | 375 | (313 | ) | 20,625 | (1,635 | ) | |||||||||||
FID Contrafund K | 8,072 | 790,295 | 54,229 | 4,445 | 10,565 | 118,175 | (13,106 | ) | ||||||||||||
FID Diversified Intl K | — | — | — | 76,766 | (74,985 | ) | 26,250 | (2,436 | ) | |||||||||||
FID Freedom K 2005 | — | — | 3,850 | 4,593 | (5,714 | ) | — | (11,846 | ) | |||||||||||
FID Freedom K 2010 | — | — | 1,698 | 1,625 | (2,351 | ) | — | (2,333 | ) | |||||||||||
FID Freedom K 2015 | — | — | 11,464 | 55,671 | (55,030 | ) | 126,000 | (12,206 | ) | |||||||||||
FID Freedom K 2020 | — | — | 65,739 | 9,032 | (34,227 | ) | 26,000 | (16,494 | ) | |||||||||||
FID Freedom K 2025 | — | — | 25,185 | 339 | (7,527 | ) | — | — | ||||||||||||
FID Intermed Bond | — | — | 1,641 | 503 | (14 | ) | 26,000 | (5,918 | ) | |||||||||||
Harbor Intl Inst | — | — | — | 91,156 | (89,315 | ) | 79,025 | — | ||||||||||||
JPM Mid Cap Value IS | — | — | — | 133,620 | (73,171 | ) | 50,000 | (4,553 | ) | |||||||||||
MFS Value R5 | 3,775 | 131,883 | 6,264 | — | 6,075 | 19,800 | — | |||||||||||||
PIM Total RT Inst | 106,686 | 1,137,277 | 43,204 | (150 | ) | (13,237 | ) | 201,400 | (16,507 | ) | ||||||||||
Spartan 500 Index ADV | — | — | 1,824 | 54,111 | (38,794 | ) | 24,100 | (1,583 | ) | |||||||||||
TRP Blue Chip Growth | 3,748 | 252,102 | 11,646 | — | 9,752 | — | — | |||||||||||||
VANG Mid Cap IDX SIG | — | — | 43 | 52,563 | (38,747 | ) | — | (3,946 | ) | |||||||||||
MFS Inst Intl Equity | 50,976 | 1,065,901 | 28,124 | (690 | ) | (81,467 | ) | 22,300 | (1,180 | ) | ||||||||||
Spartan 500 Index Inst | 3,148 | 229,338 | 2,725 | 7 | 6,587 | 4,950 | (844 | ) | ||||||||||||
VANG Mid Cap IDX Adm | — | — | — | 4,351 | — | — | (869 | ) | ||||||||||||
Spartan Ext Mkt Idx ADV | 3,950 | 217,949 | 5,524 | (71 | ) | (819 | ) | — | (3,432 | ) | ||||||||||
VANG Target RET 2010 | 37,895 | 997,393 | 29,461 | 364 | (18,501 | ) | — | (20,653 | ) | |||||||||||
VANG Target RET 2015 | 1,975 | 30,204 | 867 | 4,529 | (869 | ) | — | — | ||||||||||||
VANG Target RET 2020 | 28,423 | 808,905 | 16,213 | — | (6,568 | ) | 8,750 | — | ||||||||||||
VANG Target RET 2025 | 31,528 | 521,157 | 10,868 | — | (10,413 | ) | — | — | ||||||||||||
VANG Target RET INC | 13,698 | 176,847 | 2,397 | 9 | (409 | ) | — | (8,793 | ) | |||||||||||
Total registered investment companies | 301,372 | 6,881,208 | 346,059 | 493,505 | (520,893 | ) | 753,375 | (129,996 | ) | |||||||||||
Interest-bearing cash: | ||||||||||||||||||||
Fidelity US Govt Bond | 9,440 | 9,440 | 39 | — | — | — | (82,194 | ) | ||||||||||||
Total interest-bearing cash | 9,440 | 9,440 | 39 | — | — | — | (82,194 | ) | ||||||||||||
Affiliated stock: | ||||||||||||||||||||
State Auto Financial Corporation | 20,739 | 460,823 | 8,204 | — | 19,861 | — | — | |||||||||||||
Total affiliated stock | 20,739 | 460,823 | 8,204 | — | 19,861 | — | — | |||||||||||||
Total assets held for investment | 331,551 | $ | 7,351,471 | $ | 354,302 | $ | 493,505 | $ | (501,032 | ) | $ | 753,375 | $ | (212,190 | ) |
2013 | Number of Shares | Fair Value | Dividends | Realized Gain (Loss) | Unrealized Gain (Loss) | Contributions | Benefit Payments | |||||||||||||
Registered investment companies: | ||||||||||||||||||||
ABF Small Cap Val Inst | 557 | $ | 15,146 | $ | 1,327 | $ | 245 | $ | 2,988 | $ | — | $ | (1,212 | ) | ||||||
Baron Growth Inst | 5,710 | 417,510 | 10,010 | 199 | 70,438 | 21,000 | (1,217 | ) | ||||||||||||
Calamos Growth Inst | — | — | — | (1,481 | ) | 20,885 | — | (2,102 | ) | |||||||||||
FID Contrafund K | 6,789 | 652,263 | 46,899 | 5,209 | 103,630 | 154,880 | (1,700 | ) | ||||||||||||
FID Diversified Intl K | 10,925 | 402,460 | 6,461 | 33,204 | 73,127 | 21,000 | (2,734 | ) | ||||||||||||
FID Freedom K 2005 | 5,673 | 76,245 | 1,402 | 871 | 4,265 | — | (19,352 | ) | ||||||||||||
FID Freedom K 2010 | 1,691 | 23,722 | 6,362 | 9,931 | (899 | ) | 50,000 | (2,731 | ) | |||||||||||
FID Freedom K 2015 | 49,847 | 709,819 | 12,180 | 11,882 | 48,642 | 127,500 | (3,754 | ) | ||||||||||||
FID Freedom K 2020 | 31,387 | 467,034 | 8,451 | 12,155 | 31,509 | 27,500 | (5,341 | ) | ||||||||||||
FID Freedom K 2025 | 13,935 | 216,132 | — | 8,183 | 7,140 | — | (1,644 | ) | ||||||||||||
FID Freedom K 2030 | — | — | — | 5,108 | (783 | ) | 1,875 | (824 | ) | |||||||||||
FID Intermed Bond | 7,729 | 83,702 | 3,399 | 5,130 | (9,698 | ) | 27,500 | (7,725 | ) | |||||||||||
Harbor Intl Inst | 8,753 | 621,537 | 12,805 | 4,604 | 67,539 | 91,220 | — | |||||||||||||
JPM Mid Cap Value IS | 19,449 | 683,049 | 32,801 | — | 57,747 | 28,500 | — | |||||||||||||
MFS Value R4 | — | — | 311 | 16,393 | (5,225 | ) | 18,040 | — | ||||||||||||
MFS Value R5 | 3,004 | 99,743 | 3,013 | — | 8,806 | 7,040 | — | |||||||||||||
PIM Total RT Inst | 47,891 | 511,953 | 17,012 | (5,789 | ) | (28,047 | ) | 219,940 | — | |||||||||||
Spartan US EQ Index ADV | 2,691 | 176,255 | 3,845 | 25,419 | 28,611 | 47,380 | (4,049 | ) | ||||||||||||
TRP Blue Chip Growth | 3,571 | 230,704 | — | — | 44,498 | — | — | |||||||||||||
VANG Mid Cap IDX SIG | 4,731 | 203,350 | 2,331 | 357 | 36,354 | — | (1,751 | ) | ||||||||||||
Total registered investment companies | 224,333 | 5,590,624 | 168,609 | 131,620 | 561,527 | 843,375 | (56,136 | ) | ||||||||||||
Interestbearing cash: | ||||||||||||||||||||
Fidelity US Govt Bond | 440,129 | 440,129 | 45 | — | — | — | (67,244 | ) | ||||||||||||
Total interest-bearing cash | 440,129 | 440,129 | 45 | — | — | — | (67,244 | ) | ||||||||||||
Affiliated stock: | ||||||||||||||||||||
State Auto Financial Corporation | 20,375 | 432,758 | 8,046 | — | 126,691 | — | — | |||||||||||||
Total affiliated stock | 20,375 | 432,758 | 8,046 | — | 126,691 | — | — | |||||||||||||
Total assets held for investment | 684,837 | $ | 6,463,511 | $ | 176,700 | $ | 131,620 | $ | 688,218 | $ | 843,375 | $ | (123,380 | ) |
Unrealized Gain (Loss) | |||||||||
Beginning Balance | Net Change | Ending Balance | |||||||
2013 | $ | 75,282 | 688,218 | 763,500 | |||||
2014 | $ | 763,500 | (501,032 | ) | 262,468 | ||||
2015 | $ | 262,468 | (291,083 | ) | (28,615 | ) |
2015 | |||||||||||
Investment Options: | Aggregate Proceeds | Cost | Net Realized Gains (Losses) | ||||||||
ABF Small Cap Val Inst | $ | 1,729 | $ | 1,493 | $ | 236 | |||||
Baron Growth Inst | 1,746 | 1,339 | 407 | ||||||||
FID Contrafund K | 18,461 | 14,460 | 4,001 | ||||||||
MFS Value R5 | — | (148 | ) | 148 | |||||||
PIM Total RT Inst | 1,158,052 | 1,171,230 | (13,178 | ) | |||||||
FID Total Bond | 159,363 | 162,157 | (2,794 | ) | |||||||
TRP Blue Chip Growth | — | (366 | ) | 366 | |||||||
MFS Inst Intl Equity | 20,618 | 20,239 | 379 | ||||||||
Spartan 500 Index Inst | 2,646 | 2,467 | 179 | ||||||||
Spartan EXT Mkt IDX ADV | 30,487 | 30,395 | 92 | ||||||||
VANG Target RET 2010 | 63,270 | 62,381 | 889 | ||||||||
VANG Target RET 2015 | 56,916 | 56,550 | 366 | ||||||||
VANG Target RET 2020 | 600,000 | 595,353 | 4,647 | ||||||||
VANG Target RET 2025 | — | (2,591 | ) | 2,591 | |||||||
VANG Target RET INC | 26,869 | 26,805 | 64 | ||||||||
Fidelity US Govt Bond | 9,441 | 9,441 | — | ||||||||
Total | $ | 2,149,598 | $ | 2,151,205 | $ | (1,607 | ) |
2014 | |||||||||||
Investment Options: | Aggregate Proceeds | Cost | Net Realized Gains (Losses) | ||||||||
ABF Small Cap Val Inst | $ | 1,662 | $ | 1,305 | $ | 357 | |||||
Baron Growth Inst | 1,635 | 1,260 | 375 | ||||||||
FID Contrafund K | 49,382 | 44,937 | 4,445 | ||||||||
FID Diversified Intl K | 430,491 | 353,725 | 76,766 | ||||||||
FID Freedom K 2005 | 78,974 | 74,381 | 4,593 | ||||||||
FID Freedom K 2010 | 24,694 | 23,069 | 1,625 | ||||||||
FID Freedom K 2015 | 847,924 | 792,253 | 55,671 | ||||||||
FID Freedom K 2020 | 1,020,595 | 1,011,563 | 9,032 | ||||||||
FID Freedom K 2025 | 371,672 | 371,333 | 339 | ||||||||
FID Intermed Bond | 111,831 | 111,328 | 503 | ||||||||
Fidelity US Govt Bond | 430,726 | 430,726 | — | ||||||||
Harbor Intl Inst | 702,403 | 611,247 | 91,156 | ||||||||
JPM Mid Cap Value IS | 793,498 | 659,878 | 133,620 | ||||||||
PIM Total RT Inst | 50,927 | 51,077 | (150 | ) | |||||||
Spartan 500 Index ADV | 217,496 | 163,385 | 54,111 | ||||||||
VANG Mid Cap IDX SIG | 217,209 | 164,646 | 52,563 | ||||||||
MFS Inst Intl Equity | 32,825 | 33,515 | (690 | ) | |||||||
Spartan 500 Index Inst | 843 | 836 | 7 | ||||||||
VANG Mid Cap IDX Adm | 217,615 | 213,264 | 4,351 | ||||||||
Spartan Ext Mkt Idx ADV | 3,432 | 3,503 | (71 | ) | |||||||
VANG Target RET 2010 | 50,859 | 50,495 | 364 | ||||||||
VANG Target RET 2015 | 375,704 | 371,175 | 4,529 | ||||||||
VANG Target RET INC | 8,794 | 8,785 | 9 | ||||||||
Total | $ | 6,041,191 | $ | 5,547,686 | $ | 493,505 |
2013 | |||||||||||
Investment Options: | Aggregate Proceeds | Cost | Net Realized Gains (Losses) | ||||||||
ABF Small Cap Val Inst | $ | 1,212 | $ | 967 | $ | 245 | |||||
Baron Growth Inst | 1,217 | 1,018 | 199 | ||||||||
Calamos Growth Inst | 343,169 | 344,650 | (1,481 | ) | |||||||
FID Contrafund K | 53,445 | 48,236 | 5,209 | ||||||||
FID Diversified Intl K | 302,734 | 269,530 | 33,204 | ||||||||
FID Freedom K 2005 | 19,352 | 18,481 | 871 | ||||||||
FID Freedom K 2010 | 288,153 | 278,222 | 9,931 | ||||||||
FID Freedom K 2015 | 308,291 | 296,409 | 11,882 | ||||||||
FID Freedom K 2020 | 248,628 | 236,473 | 12,155 | ||||||||
FID Freedom K 2025 | 179,641 | 171,458 | 8,183 | ||||||||
FID Freedom K 2030 | 96,963 | 91,855 | 5,108 | ||||||||
FID Intermed Bond | 196,291 | 191,161 | 5,130 | ||||||||
Fidelity US Govt Bond | 667,244 | 667,244 | — | ||||||||
Harbor Intl Inst | 31,071 | 26,467 | 4,604 | ||||||||
MFS Value Fund R4 | 80,885 | 64,492 | 16,393 | ||||||||
PIM Total RT Inst | 239,354 | 245,143 | (5,789 | ) | |||||||
Spartan US EQ Index ADV | 202,477 | 177,058 | 25,419 | ||||||||
VANG Mid Cap IDX SIG | 1,752 | 1,395 | 357 | ||||||||
Total | $ | 3,261,879 | $ | 3,130,259 | $ | 131,620 |
December 31 | |||||||||
2015 | 2014 | ||||||||
Baron Growth Inst | $ | 501,655 | $ | 507,824 | |||||
FID Contrafund K | 909,505 | 790,295 | |||||||
FID Total Bond | 1,028,182 | — | * | ||||||
TRP Blue Chip Growth | 615,367 | — | * | ||||||
PIM Total RT Inst | — | * | 1,137,277 | ||||||
State Auto Financial Corporation | 434,508 | 460,823 | |||||||
MFS Inst Intl Equity | 1,124,359 | 1,065,901 | |||||||
VANG Target RET 2010 | 998,142 | 997,393 | |||||||
VANG Target RET 2020 | — | * | 808,905 | ||||||
VANG Target RET 2025 | 959,751 | 521,157 | |||||||
*Value is less than five percent of net assets available for benefits. |