ý | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
|||
For the fiscal year ended December 31, 2010 | ||||
OR | ||||
o | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
|||
For the transition period from __________ to __________ |
A. | Full title of the plan and the 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: |
1 | ||||||||
Financial Statements |
||||||||
2 | ||||||||
3 | ||||||||
4 | ||||||||
21 | ||||||||
22 | ||||||||
EX-23.1 |
1
December 31, | ||||||||
2010 | 2009 | |||||||
(In Thousands) | ||||||||
Investments at fair value: |
||||||||
Commingled trust funds |
$ | 1,036,406 | $ | 890,449 | ||||
Time Warner common stock |
285,363 | 290,995 | ||||||
Other common stocks |
586,681 | 526,119 | ||||||
Preferred stocks |
758 | 226 | ||||||
Synthetic investment contracts |
596,176 | 595,667 | ||||||
Mutual funds |
683,248 | 602,510 | ||||||
U.S. government and agency securities |
178,693 | 116,360 | ||||||
Other fixed income securities |
141,827 | 109,802 | ||||||
Cash, cash equivalents and other investments |
92,766 | 45,451 | ||||||
Total investments, at fair value |
3,601,918 | 3,177,579 | ||||||
Contributions receivable: |
||||||||
Employer |
629 | 1,950 | ||||||
Participants |
15 | 8 | ||||||
Notes receivable from participants |
57,389 | 56,805 | ||||||
Receivables for securities sold |
90,773 | 2,314 | ||||||
Other assets |
4,366 | 13,048 | ||||||
Total assets |
3,755,090 | 3,251,704 | ||||||
Payables for securities purchased |
172,772 | 31,838 | ||||||
Other liabilities |
4,789 | 8,383 | ||||||
Total liabilities |
177,561 | 40,221 | ||||||
Net assets available for benefits, at fair value |
3,577,529 | 3,211,483 | ||||||
Adjustment from fair value to contract value for fully
benefit-responsive investment contracts |
(17,389 | ) | (7,657 | ) | ||||
Net assets available for benefits |
$ | 3,560,140 | $ | 3,203,826 | ||||
2
Year Ended December 31, | ||||||||
2010 | 2009 | |||||||
(In Thousands) | ||||||||
Net assets available for benefits at beginning of year |
$ | 3,203,826 | $ | 2,995,653 | ||||
Changes in net assets: |
||||||||
Investment income, net of fees |
39,468 | 112,484 | ||||||
Net realized and unrealized appreciation in the fair value
of investments |
331,730 | 564,387 | ||||||
Net investment income |
371,198 | 676,871 | ||||||
Employing company contributions |
108,003 | 102,004 | ||||||
Participant contributions, including rollover contributions |
169,539 | 194,646 | ||||||
Participant loan interest income |
2,985 | 4,077 | ||||||
Participant withdrawals |
(296,055 | ) | (292,106 | ) | ||||
Administrative expenses |
(4,600 | ) | (5,579 | ) | ||||
Net asset transfers to the AOL Savings Plan |
| (471,740 | ) | |||||
Other income |
5,244 | | ||||||
Net change |
356,314 | 208,173 | ||||||
Net assets available for benefits at end of year |
$ | 3,560,140 | $ | 3,203,826 | ||||
3
4
5
6
7
March 1, 2007 to | |||||||||||||||||
Prior to March 1, 2007 | June 30, 2010 | On or After July 1, 2010 | |||||||||||||||
Years or Periods | Vested | Years or Periods | Vested | Years or Periods | Vested | ||||||||||||
of Service | Percentage | of Service | Percentage | of Service (1) | Percentage | ||||||||||||
Less than 2 years |
0 | % | Less than 1 year | 0 | % | Less than 2 years | 0 | % | |||||||||
2 but less than 3 years |
25 | 1 but less than 2 years | 20 | 2 years or more | 100 | ||||||||||||
3 but less than 4 years |
50 | 2 but less than 3 years | 40 | ||||||||||||||
4 but less than 5 years |
75 | 3 but less than 4 years | 60 | ||||||||||||||
5 years or more |
100 | 4 but less than 5 years | 80 | ||||||||||||||
5 years or more | 100 |
8
9
10
11
12
Year Ended December 31, | ||||||||
2010 | 2009 | |||||||
(In Thousands) | ||||||||
Net realized and unrealized appreciation (depreciation) in fair value of investments: |
||||||||
Commingled trust funds |
$ | 122,966 | $ | 236,031 | ||||
Time Warner common stock |
28,826 | 9,465 | ||||||
Other common stocks |
94,639 | 145,375 | ||||||
Preferred stocks |
48 | 1,371 | ||||||
Mutual funds |
70,250 | 152,421 | ||||||
U.S. government and agency securities |
10,737 | 6,344 | ||||||
Other fixed income securities |
6,238 | 12,085 | ||||||
Cash, cash equivalents and other investments |
(1,974 | ) | 1,295 | |||||
Total net realized and unrealized appreciation in the fair value of investments |
$ | 331,730 | $ | 564,387 | ||||
December 31, | ||||||||
2010 | 2009 | |||||||
(In Thousands) | ||||||||
Commingled Trust Fund: |
||||||||
BlackRock
Equity IndexFund H,
6,885,050 and 6,959,090 units, respectively |
$ | 293,923 | $ | 257,904 | ||||
Common Stock: |
||||||||
Time Warner, 8,870,458 and 9,986,087
shares, respectively |
285,363 | 290,995 | ||||||
Mutual Fund: |
||||||||
Dodge & Cox Stock Fund, 4,403,023 and
4,335,699 shares, respectively |
474,470 | 416,834 |
13
| Complete or partial termination of the Plan; |
||
| Any change in law, regulation or administrative ruling applicable to the Plan that
could have a material adverse effect on the funds cash flow; |
||
| Merger or consolidation of the Plan with another plan, the transfer of Plan assets
to another plan, or the sale, spin-off or merger of a subsidiary or division of the Plan
sponsor; and |
||
| Any early retirement program, group termination, group layoff, facility closing or
similar program. |
14
December 31, | ||||||||
2010 | 2009 | |||||||
Crediting rate (a) |
2.5 | % | 2.5 | % | ||||
Average annualized yield for the year |
2.5 | 2.9 |
15
December 31, 2010 | December 31, 2009 | |||||||||||||||||||||||||||||||
Asset Category |
Level 1 |
Level 2 |
Level 3 |
Total |
Level 1 |
Level 2 |
Level 3 |
Total |
||||||||||||||||||||||||
Commingled trust funds (a) |
$ | - | $ | 1,036,406 | $ | - | $ | 1,036,406 | $ | - | $ | 890,449 | $ | - | $ | 890,449 | ||||||||||||||||
Equity securities: |
||||||||||||||||||||||||||||||||
Time Warner common stock |
285,363 | - | - | 285,363 | 290,995 | - | - | 290,995 | ||||||||||||||||||||||||
Other common stocks: |
||||||||||||||||||||||||||||||||
Domestic equities |
559,571 | - | - | 559,571 | 502,952 | - | - | 502,952 | ||||||||||||||||||||||||
International equities |
27,110 | - | - | 27,110 | 23,167 | - | - | 23,167 | ||||||||||||||||||||||||
Preferred stocks |
758 | - | - | 758 | 226 | - | - | 226 | ||||||||||||||||||||||||
Synthetic investment contracts: |
||||||||||||||||||||||||||||||||
U.S. government and agency securities |
265,648 | 99,784 | - | 365,432 | 190,850 | 135,909 | - | 326,759 | ||||||||||||||||||||||||
Mortgage related obligations |
- | 66,137 | - | 66,137 | - | 104,993 | - | 104,993 | ||||||||||||||||||||||||
Investment grade corporate bonds(b) |
- | 160,370 | - | 160,370 | - | 158,173 | - | 158,173 | ||||||||||||||||||||||||
Cash, cash equivalents and other investments |
2,854 | 1,383 | - | 4,237 | 2,568 | 3,174 | - | 5,742 | ||||||||||||||||||||||||
Mutual funds (c) |
683,248 | - | - | 683,248 | 602,510 | - | - | 602,510 | ||||||||||||||||||||||||
Fixed income securities: |
||||||||||||||||||||||||||||||||
U.S. government and agency securities |
47,437 | 127,525 | 3,731 | 178,693 | 45,911 | 68,577 | 1,872 | 116,360 | ||||||||||||||||||||||||
Mortgage related obligations |
- | 41,236 | - | 41,236 | - | 33,961 | - | 33,961 | ||||||||||||||||||||||||
Investment grade corporate bonds(b) |
- | 80,892 | 2,053 | 82,945 | - | 60,951 | - | 60,951 | ||||||||||||||||||||||||
Non-investment grade corporate bonds(b) |
- | 17,646 | - | 17,646 | - | 14,890 | - | 14,890 | ||||||||||||||||||||||||
Cash, cash equivalents and other investments (d) |
6,708 | 86,058 | - | 92,766 | 3,549 | 41,902 | - | 45,451 | ||||||||||||||||||||||||
Total |
$ | 1,878,697 | $ | 1,717,437 | $ | 5,784 | $ | 3,601,918 | $ | 1,662,728 | $ | 1,512,979 | $ | 1,872 | $ | 3,177,579 | ||||||||||||||||
(a) | The underlying securities held in commingled trust funds
generally consist of marketable equity and fixed income securities. |
|
(b) | Investment grade corporate bonds have an S&P rating of BBB- or
higher and non-investment grade corporate bonds
have an S&P rating of BB+ and below. |
|
(c) | At December 31, 2010 and December 31, 2009, mutual funds include
$474,470 and $416,834 in the Dodge & Cox Stock Fund and $208,778 and $185,676
in Fidelity BrokerageLink, respectively. |
|
(d) | At December 31, 2010 and December 31, 2009, includes cash and
cash equivalents of $92,776 and $42,297 and derivative contracts of ($10) and
$3,154, respectively. |
16
December 31, 2010 | December 31, 2009 | |||||||||||||||||||
Investment | US | US | ||||||||||||||||||
Grade | Government | Government | ||||||||||||||||||
Corporate | and Agency | and Agency | ||||||||||||||||||
Bonds |
Securities |
Total |
Securities |
Total |
||||||||||||||||
Balance at beginning of period |
$ | - | $ | 1,872 | $ | 1,872 | $ | - | $ | - | ||||||||||
Actual return on plan assets: |
||||||||||||||||||||
Relating to assets still held at end of period |
- | (16 | ) | (16 | ) | - | - | |||||||||||||
Relating to assets sold during the period |
- | - | - | - | - | |||||||||||||||
Purchases, sales, issuances and settlements |
- | 867 | 867 | 1,872 | 1,872 | |||||||||||||||
Transfers in and/or out of Level 3 |
2,053 | 1,008 | 3,061 | - | - | |||||||||||||||
Balance at end of period |
$ | 2,053 | $ | 3,731 | $ | 5,784 | $ | 1,872 | $ | 1,872 | ||||||||||
17
18
December 31, | |||||||||
2010 | 2009 | ||||||||
Net assets available for benefits per the
financial statements |
$ | 3,560,140,091 | $ | 3,203,825,895 | |||||
Adjustment from contract value to fair value for
fully benefit-responsive investment contracts |
17,389,164 | 7,657,113 | |||||||
Net assets per the Form 5500 |
$ | 3,577,529,255 | $ | 3,211,483,008 | |||||
19
Year Ended | ||||
December 31, | ||||
2010 | ||||
Net investment income from the Plan per the financial statements |
$ | 371,197,574 | ||
Reversal of prior year adjustment from contract value to fair value
for fully benefit-responsive investment contracts |
(7,657,113 | ) | ||
Adjustment from contract value to fair value for fully
benefit-responsive investment contracts |
17,389,164 | |||
Net investment income from the Plan per the Form 5500 |
$ | 380,929,625 | ||
20
Amount Received | ||||||||||||||||||||||||||||||
During Reporting Year | Amount Overdue | |||||||||||||||||||||||||||||
(a) | (b) | (c) | (d) | (e) | (f) | (g) | (h) | (i) | ||||||||||||||||||||||
Detailed Description of Loan Including | ||||||||||||||||||||||||||||||
Dates of Making and Maturity, Interest | ||||||||||||||||||||||||||||||
Rate, the Type and Value of Collateral, | ||||||||||||||||||||||||||||||
any Renegotiation of The Loan and the | Original | Unpaid | ||||||||||||||||||||||||||||
Party-In- | Identity and Address of | Terms of the Renegotiation and Other | Amount of | Balance at | ||||||||||||||||||||||||||
Interest | Obligor | Material Items | Loan | Principal | Interest | End of Year | Principal | Interest | ||||||||||||||||||||||
Glitnir Bank |
GLITNIR 3ML+273.25 6/16 144A | $ | 411,000 | $ | - | $ | - | $ | 27,508 | $ | - | $ | 27,508 | |||||||||||||||||
Glitnir Bank |
GLITNIR BK MTN 6.33% 7/11 144A | 279,000 | - | - | 17,661 | - | 17,661 | |||||||||||||||||||||||
General Motors |
GM 8.25% 7/15/23 | 1,672,000 | - | - | 137,940 | - | 137,940 | |||||||||||||||||||||||
General Motors |
GM GLBL 8.375% 7/15/33 DT | 21,000 | - | - | 1,759 | - | 1,759 | |||||||||||||||||||||||
Inn of the
Mountain Gods Resort and Casino |
INN OF MOUNT 12% 11/15/10 | 21,000 | - | - | 23,520 | 21,000 | 2,520 | |||||||||||||||||||||||
Kaupthing Bank |
KAUPTHING BK 5.75% 10/14/11 144A | 120,000 | - | - | 6,900 | - | 6,900 | |||||||||||||||||||||||
Kaupthing Bank |
KAUPTHING BK 7.625% 2/28/15 | 1,177,000 | - | - | 89,746 | - | 89,746 | |||||||||||||||||||||||
Kaupthing Bank |
KAUPTHING MTN 7.125% 5/19/16 144A | 130,000 | - | - | 9,263 | - | 9,263 | |||||||||||||||||||||||
Landsbankinn |
LANDSBANKI IS MTN 6.1% 8/25/11 | 641,000 | - | - | 39,101 | - | 39,101 | |||||||||||||||||||||||
Lehman Brothers |
LEH 5.857% PERP-12 5/31/12 | 369,000 | - | - | 21,660 | - | 21,660 | |||||||||||||||||||||||
Lehman Brothers |
LEHMAN BROS HLD 6.75% 12/28/17 | 390,000 | - | - | 26,325 | - | 26,325 | |||||||||||||||||||||||
Lehman Brothers |
LEHMAN BROS 3ML 8/19/65 | 220,000 | - | - | 3,616 | - | 3,616 | |||||||||||||||||||||||
Station Casinos Inc. |
STATION CASINOS 6% 4/01/12 | 63,000 | - | - | 3,780 | - | 3,780 | |||||||||||||||||||||||
Station Casinos Inc. |
STATION CASINOS INC 7.75% 8/16 | 84,000 | - | - | 6,510 | - | 6,510 |
21
Shares or | |||||||
Units | Description | Current Value | |||||
Commingled Trust Funds |
|||||||
14,573,649 | AllianceBernstein International Style Blend Collective Trust |
$ | 149,088,433 | ||||
11,168,011 | BlackRock EAFE Equity Index - Fund T |
159,056,114 | |||||
6,885,050 | BlackRock Equity Index - Fund H |
293,922,798 | |||||
2,689,799 | BlackRock Extended Equity - Market Fund K |
122,332,051 | |||||
9,439,414 | BlackRock US Debt Index - Fund T |
153,390,479 | |||||
10,483,566 | Wellington Trust Company Collective Investment Fund II Growth (Series 2) |
158,616,360 | |||||
Total Commingled Trust Funds |
$ | 1,036,406,235 | |||||
8,870,458 | Time Warner Common Stock* |
$ | 285,362,634 | ||||
Other Common Stocks |
|||||||
123,362 | ACI WORLDWIDE INC |
$ | 3,314,737 | ||||
65,104 | ACME PACKET INC |
3,460,929 | |||||
40,800 | ACUITY BRANDS INC |
2,352,936 | |||||
46,100 | AEROFLEX HLDG CORP |
758,345 | |||||
358,500 | AES CORP |
4,366,530 | |||||
42,100 | AETNA INC |
1,284,471 | |||||
29,500 | AFLAC INC |
1,664,685 | |||||
17,800 | ALIGN TECHNOLOGY INC |
347,812 | |||||
74,657 | AMAZON.COM INC |
13,438,260 | |||||
30,300 | AMERICAN EXPRESS CO |
1,300,476 | |||||
4,000 | AMGEN INC |
219,600 | |||||
62,663 | AMYRIS INC |
1,671,849 | |||||
105,413 | ANADARKO PETROLEUM CORP |
8,028,254 | |||||
189,319 | ANSYS INC |
9,857,840 | |||||
41,537 | APPLE INC |
13,398,175 | |||||
156,263 | ARES CAPITAL CORP |
2,575,214 | |||||
190,408 | ASSOCIATED BANC CORP |
2,884,681 | |||||
44,700 | ATHENAHEALTH INC |
1,831,806 | |||||
39,800 | ATHEROS COMMUNICATIONS INC |
1,429,616 | |||||
367,387 | ATMEL CORP |
4,526,208 | |||||
121,700 | BANK OF AMERICA CORPORATION |
1,623,478 | |||||
142,190 | BB&T CORP |
3,738,175 | |||||
30,900 | BEST BUY CO INC |
1,059,561 | |||||
8,000 | BJS RESTAURANTS INC |
283,440 | |||||
27,500 | BLACKBOARD INC |
1,135,750 | |||||
3,400 | BLACKROCK INC |
647,972 | |||||
10,000 | BOOZ ALLEN HAMILTON HLDG CL A |
194,300 | |||||
37,616 | BORGWARNER INC |
2,721,894 |
22
Shares or | |||||||
Units | Description | Current Value | |||||
Other Common Stocks (continued) |
|||||||
39,550 | BP PLC SPON ADR |
$ | 1,746,924 | ||||
345,600 | BR MALLS PARTICIPACOES SA |
3,561,062 | |||||
109,400 | BRIGHTPOINT INC |
955,062 | |||||
169,680 | CALPINE CORP |
2,263,531 | |||||
34,000 | CAPITAL ONE FINANCIAL CORP |
1,447,040 | |||||
22,000 | CATALYST HEALTH SOLUTIONS |
1,022,780 | |||||
419,516 | CBS CORP CL B |
7,991,780 | |||||
88,400 | CEPHEID INC |
2,011,100 | |||||
6,617 | CHIPOTLE MEXICAN GRILL INC |
1,407,171 | |||||
81,400 | CISCO SYSTEMS INC |
1,646,722 | |||||
392,100 | CITIGROUP INC |
1,854,633 | |||||
128,074 | CITY NATIONAL CORP |
7,858,621 | |||||
132,482 | COLUMBIA BANKING SYSTEMS INC |
2,790,071 | |||||
42,434 | COMMERCE BANCSHARES INC |
1,685,903 | |||||
78,100 | COMMVAULT SYSTEMS INC |
2,235,222 | |||||
32,301 | COMPASS MINERALS INTL INC |
2,883,510 | |||||
29,000 | COMSTOCK RESOURCES INC NEW |
712,240 | |||||
30,805 | CONCHO RESOURCES INC |
2,700,674 | |||||
24,600 | CONCUR TECHNOLOGIES INC |
1,277,478 | |||||
26,350 | CONOCOPHILLIPS |
1,794,435 | |||||
16,800 | CONSTANT CONTACT INC |
520,632 | |||||
18,671 | COOPER COMPANIES INC |
1,051,924 | |||||
13,700 | CORE LABORATORIES NV |
1,219,985 | |||||
168,345 | CROWN CASTLE INTL CORP |
7,378,561 | |||||
151,225 | CSX CORP |
9,770,647 | |||||
160,689 | DENBURY RESOURCES INC |
3,067,553 | |||||
20,200 | DEXCOM INC |
275,730 | |||||
2,750 | DIRECTV CL A |
109,808 | |||||
430,407 | DISNEY (WALT) CO |
16,144,567 | |||||
18,800 | DRIL-QUIP INC |
1,461,136 | |||||
35,149 | DST SYSTEMS INC |
1,558,858 | |||||
243,500 | EASTMAN KODAK CO |
1,305,160 | |||||
57,500 | EBAY INC |
1,600,225 | |||||
55,422 | EHEALTH INC |
786,438 | |||||
28,900 | ELSTER GROUP SE ADR |
488,410 | |||||
51,400 | EMC CORP |
1,177,060 | |||||
45,409 | EMERGENCY MEDICAL SVCS CL A |
2,933,875 | |||||
9,500 | ENERNOC INC |
227,145 |
23
Shares or | |||||||
Units | Description | Current Value | |||||
Other Common Stocks (continued) |
|||||||
104,828 | EURONET WORLDWIDE INC |
$ | 1,828,200 | ||||
1,354,796 | FIRST HORIZON NATIONAL CORP |
15,959,497 | |||||
1,138,988 | FIRST NIAGARA FINL GROUP INC |
15,923,052 | |||||
67,100 | FIRSTMERIT CORP |
1,327,909 | |||||
418,462 | FORD MOTOR CO |
7,025,977 | |||||
12,200 | FRESH MARKET INC |
502,640 | |||||
371,711 | FULTON FINANCIAL CORP |
3,843,492 | |||||
131,341 | GAMESTOP CORP CL A |
3,005,082 | |||||
106,100 | GENERAL ELECTRIC CO |
1,940,569 | |||||
414,007 | GENERAL MOTORS CO |
15,260,298 | |||||
65,800 | GENWORTH MI CANADA INC |
1,820,337 | |||||
42,700 | GILEAD SCIENCES INC |
1,547,448 | |||||
178,549 | GLACIER BANCORP INC |
2,697,875 | |||||
9,075 | GOLDMAN SACHS GROUP INC |
1,526,052 | |||||
5,200 | GREEN DOT CORP |
295,048 | |||||
6,100 | GREENHILL & CO INC |
498,248 | |||||
75,800 | GSI COMMERCE INC |
1,758,560 | |||||
25,457 | HARMAN INTL IND INC NEW |
1,178,659 | |||||
21,700 | HEALTH MGMNT ASSOC INC CL A |
207,018 | |||||
6,700 | HEARTWARE INTERNATIONAL INC |
586,719 | |||||
75,834 | HENRY (JACK) & ASSOCIATES INC |
2,210,561 | |||||
43,050 | HEWLETT-PACKARD CO |
1,812,405 | |||||
68,400 | HEXCEL CORPORATION |
1,237,356 | |||||
16,900 | HIBBETT SPORTS INC |
623,610 | |||||
21,100 | HMS HOLDINGS CORP |
1,366,647 | |||||
15,400 | HOME INNS &HO MGT INC SPON ADR |
630,784 | |||||
222,593 | HONEYWELL INTL INC |
11,833,044 | |||||
60,300 | ICONIX BRAND GROUP INC |
1,164,393 | |||||
60,600 | IDEX CORPORATION |
2,370,672 | |||||
35,600 | INCYTE CORP |
589,536 | |||||
241,552 | INFORMATICA CORP |
10,635,535 | |||||
33,594 | INTEGRATED DEVICE TECH INC |
223,736 | |||||
61,800 | INTEL CORP |
1,299,654 | |||||
12,900 | INTL BUS MACH CORP |
1,893,204 | |||||
60,834 | INTUITIVE SURGICAL INC |
15,679,964 | |||||
16,600 | ITC HLDGS CORP |
1,028,868 | |||||
270,848 | JEFFERIES GROUP INC |
7,212,682 | |||||
13,000 | JOHNSON & JOHNSON |
804,050 |
24
Shares or | |||||||
Units | Description | Current Value | |||||
Other Common Stocks (continued) |
|||||||
137,664 | JONES LANG LASALLE INC |
$ | 11,552,763 | ||||
42,900 | JPMORGAN CHASE & CO |
1,819,818 | |||||
15,800 | K12 INC |
452,828 | |||||
151,378 | KEY ENERGY SERVICES INC |
1,964,886 | |||||
80,760 | LIVE NATION ENTERTAINMENT INC |
922,279 | |||||
104,100 | LKQ CORP |
2,365,152 | |||||
26,700 | LOGMEIN INC |
1,183,878 | |||||
15,700 | LULULEMON ATHLETICA INC |
1,074,194 | |||||
28,286 | MAGELLAN HLTH SERVICES INC |
1,337,362 | |||||
6,700 | MAKEMYTRIP LIMITED |
181,101 | |||||
62,200 | MASIMO CORP |
1,808,154 | |||||
3,820 | MASTERCARD INC CL A |
856,100 | |||||
51,100 | MB FINANCIAL INC |
885,052 | |||||
26,600 | MECOX LANE LTD ADR |
197,106 | |||||
19,200 | MEDTRONIC INC |
712,128 | |||||
6,600 | MERCADOLIBRE INC |
439,890 | |||||
36,000 | MERCK & CO INC NEW |
1,297,440 | |||||
25,400 | METLIFE INC |
1,128,776 | |||||
311,192 | MF GLOBAL HOLDINGS LTD |
2,601,565 | |||||
221,250 | MGIC INVESTMENT CORP |
2,254,538 | |||||
57,600 | MICROSEMI CORP |
1,319,040 | |||||
52,700 | MICROSOFT CORP |
1,471,384 | |||||
15,900 | MIDDLEBY CORP |
1,342,278 | |||||
328,534 | MONEYGRAM INTERNATIONAL INC |
890,327 | |||||
49,500 | MONRO MUFFLER BRAKE INC |
1,712,205 | |||||
181,653 | MONSANTO CO NEW |
12,650,315 | |||||
38,600 | MOOG INC CL A |
1,536,280 | |||||
31,900 | MORGAN STANLEY |
867,999 | |||||
142,194 | MYRIAD GENETICS INC |
3,247,711 | |||||
41,200 | NANOMETRICS INC |
528,596 | |||||
24,100 | NETSUITE INC |
602,500 | |||||
300,907 | NEW GOLD INC |
2,936,852 | |||||
395,968 | NUANCE COMMUNICATIONS INC |
7,198,698 | |||||
19,800 | NXSTAGE MEDICAL INC |
492,624 | |||||
58,725 | NYSE EURONEXT |
1,760,576 | |||||
462,500 | OGX PETROLEO E GAS PART SA |
5,573,800 | |||||
25,500 | OLD DOMINION FREIGHT LINES INC |
815,745 | |||||
48,259 | OPENTABLE INC |
3,401,294 |
25
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Common Stocks (continued) |
||||||||
186,468 | ORACLE CORP |
$ | 5,836,448 | |||||
98,690 | PACIFIC BIOSCIENCES OF CALI INC |
1,570,158 | ||||||
47,226 | PARAMETRIC TECHNOLOGY CORP |
1,064,002 | ||||||
189,687 | PARK STERLING BANK |
1,168,472 | ||||||
18,325 | PEPSICO INC |
1,197,172 | ||||||
46,100 | PFIZER INC |
807,211 | ||||||
2,029 | PICO HOLDINGS INC |
64,522 | ||||||
337,196 | PNC FINANCIAL SERVICES GRP INC |
20,474,541 | ||||||
83,276 | PRECISION CASTPARTS CORP |
11,592,852 | ||||||
7,200 | PSS WORLD MEDICAL INC |
162,720 | ||||||
33,325 | QUALCOMM INC |
1,649,254 | ||||||
6,600 | QUALITY SYSTEMS INC |
460,812 | ||||||
23,700 | QUEST SOFTWARE INC |
657,438 | ||||||
12,500 | REALD INC |
324,000 | ||||||
24,100 | REGAL-BELOIT CORP |
1,608,916 | ||||||
33,700 | REGENERON PHARMACEUTICALS INC |
1,106,371 | ||||||
21,500 | REINSURANCE GROUP OF AMERICA |
1,154,765 | ||||||
24,450 | RESEARCH IN MOTION LTD |
1,421,279 | ||||||
20,900 | RIVERBED TECHNOLOGY INC |
735,053 | ||||||
64,500 | ROBBINS & MYERS INC |
2,307,810 | ||||||
28,400 | ROVI CORPORATION |
1,761,084 | ||||||
90,803 | RUE21 INC |
2,661,436 | ||||||
56,350 | SALESFORCE.COM INC |
7,438,200 | ||||||
300,510 | SENSATA TECHNOLOGIES HOLDG BV |
9,048,356 | ||||||
36,766 | SIRONA DENTAL SYSTEMS INC |
1,536,083 | ||||||
46,409 | STANCORP FINL GROUP INC |
2,094,902 | ||||||
204,839 | STARWOOD HTLS & RESRT WRLDWIDE |
12,450,114 | ||||||
216,428 | STATE STREET CORP* |
10,029,274 | ||||||
12,100 | STRATASYS INC |
394,944 | ||||||
162,774 | SUSQUEHANNA BANCSHARES INC PA |
1,575,652 | ||||||
5,500 | TESLA MOTORS INC |
146,465 | ||||||
55,350 | TEXAS INSTRUMENTS INC |
1,798,875 | ||||||
24,100 | THOMAS & BETTS CORP |
1,164,030 | ||||||
30,786 | TORCHMARK CORP |
1,839,156 | ||||||
14,400 | TRANSOCEAN LTD |
1,000,944 | ||||||
22,500 | TREEHOUSE FOODS INC |
1,149,525 | ||||||
32,400 | ULTA SALON COSMETICS & FRG INC |
1,101,600 | ||||||
51,150 | UNITED CONTINENTAL HLDGS INC |
1,218,393 |
26
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Common Stocks (continued) |
||||||||
30,050 | UNITEDHEALTH GROUP INC |
$ | 1,085,106 | |||||
13,700 | UNIVERSAL DISPLAY CORP |
419,905 | ||||||
119,953 | VAIL RESORTS INC |
6,242,354 | ||||||
13,500 | VANCEINFO TECH INC ADR |
466,290 | ||||||
29,500 | VARIAN SEMICONDCT EQP ASSC INC |
1,090,615 | ||||||
9,700 | VERA BRADLEY INC |
320,100 | ||||||
17,950 | WAL MART STORES INC |
968,044 | ||||||
13,162 | WASTE CONNECTIONS INC |
362,350 | ||||||
743,168 | WELLS FARGO & CO |
23,030,776 | ||||||
172,161 | WHITNEY HOLDING CORP |
2,436,078 | ||||||
460,718 | WILLIAMS-SONOMA INC |
16,443,025 | ||||||
31,535 | WYNN RESORTS LTD |
3,274,594 | ||||||
20,300 | YUM BRANDS INC |
995,715 | ||||||
Total Other Common Stocks |
$ | 586,681,063 | ||||||
Preferred Stocks |
||||||||
13625 | CITIGROUP CAP XIII 7.875% PFD |
$ | 366,649 | |||||
13,800 | CITIGROUP CAP XII 8.5% PFD |
365,148 | ||||||
25,550 | FREDDIE MAC 8.375% PREF PERP |
16,071 | ||||||
17,900 | FNMA 8.25% PFD S PERP |
10,024 | ||||||
800 | FNMA 0%/10YR CMT+237.5PFD PERP |
608 | ||||||
Total Preferred Stocks |
$ | 758,500 | ||||||
Synthetic Investment Contracts |
||||||||
(CASH) |
$ | 64,569 | ||||||
2,788,921 | COLCHESTER STREET TRUST MONEY MARKET PORTFOLIO CLASS I |
2,788,921 | ||||||
1,350,000 | ABBEY NATL 3.875% 11/10/14 144A |
1,345,177 | ||||||
586,000 | ALABAMA POWER 4.85% 12/15/12 |
629,797 | ||||||
870,000 | ALLYA 10-4 A3 ABS .91 11/17/14 |
864,782 | ||||||
790,000 | ALLYA 2010-1 A3 1.45% 5/14 |
794,508 | ||||||
15,751 | AMCAR 2006-1 C 5.28% 11/11 |
15,811 | ||||||
319,455 | AMCAR 2006-BG A4 5.21% 9/13 |
326,614 | ||||||
606,000 | AMER HONDA 2.5% 9/21/15 144A |
602,651 | ||||||
1,220,000 | AMERICAN EX CC 2.75% 9/15/15 |
1,210,162 | ||||||
300,000 | AMERICAN HONDA 2.375% 3/13 144A |
307,081 | ||||||
600,000 | AMERICN EX FDIC 3.15% 12/09/11 |
616,410 | ||||||
217,000 | APART 2007-1 B 5.35% 9/13 |
224,460 | ||||||
133,000 | APART 2007-1 C 5.43% 7/11 |
137,714 |
27
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
2,430,000 | AT&T INC 2.5% 8/15/15 |
$ | 2,446,942 | |||||
483,000 | AT&T WIRE GLBL 8.125 5/1/12 DT |
534,162 | ||||||
1,050,000 | BAAT 2010-2 A3 2.4% 7/14 |
1,058,819 | ||||||
80,495 | BACM 2003-2 A2 4.342% 3/41 |
81,457 | ||||||
504,047 | BACM 2005-3 A2 CSTR 7/43 |
509,625 | ||||||
4,714,301 | BACM 2005-3 XP CSTR 7/43 |
29,249 | ||||||
11,277,212 | BACM 2005-5 XP CSTR 10/45 |
20,232 | ||||||
11,623 | BACM 2006-5 A1 5.185% 9/47 |
11,669 | ||||||
445,000 | BALTIMORE G&E 6.125% 7/01/13 |
504,751 | ||||||
2,030,000 | BANK AMER 4.5% 4/1/15 |
2,085,998 | ||||||
1,890,000 | BANK AMER FDG 3.7% 9/1/15 |
1,899,127 | ||||||
990,000 | BANK NOVA SCOTIA 2.25% 1/22/13 |
1,017,867 | ||||||
311,000 | BANK NY MELLO GLB 4.95 11/12 |
336,249 | ||||||
1,900,000 | BANK OF NOVA SC 2.05% 10/07/15 |
1,862,510 | ||||||
1,690,000 | BARCLAYS MTN 2.5% 1/23/13 |
1,735,980 | ||||||
1,247,000 | BAXTER INTL 1.8% 3/15/13 |
1,273,237 | ||||||
15,662 | BAYC 2004-3 M2 1ML+100 1/35 |
9,871 | ||||||
58,714 | BAYC 2007-4A M1 1ML+95 9/37 |
12,344 | ||||||
58,714 | BAYC 2007-4A M2 1ML+105 9/37 |
9,996 | ||||||
155,173 | BAYC 2007-4A M4 1ML+160 9/37 |
20,229 | ||||||
155,173 | BAYC 2007-4A M5 1ML+175 9/37 |
16,354 | ||||||
155,173 | BAYC 2007-4A M6 1ML+195 9/37 |
14,032 | ||||||
327,000 | BB&T CORP GLBL 6.5% 8/01/11 |
346,365 | ||||||
266,000 | BEAR STEARNS CO INC 5.35% 2/12 |
284,277 | ||||||
1,170,000 | BERK HATH INC 2.125% 2/11/13 |
1,204,618 | ||||||
392,000 | BHP BILLITON 5.125% 3/29/12 |
417,439 | ||||||
1,220,000 | BMONT Q 2.125% 6/28/13 |
1,241,854 | ||||||
810,000 | BMWLT 2010-1 A3 1.18% 4/13 |
810,396 | ||||||
350,000 | BNP PARIBAS 2.125% 12/21/12 |
355,848 | ||||||
610,000 | BNP PARIBAS MTN 3.25% 3/11/15 |
622,575 | ||||||
2,079,000 | BOA FDIC 3.125% 6/15/12 |
2,156,141 | ||||||
550,000 | BOA FDIC GTD MTN 2.1% 4/30/12 |
563,377 | ||||||
666,000 | BONY MTN 4.3% 5/15/14 |
714,278 | ||||||
1,010,000 | BP CAPITAL MARKETS 3.125% 3/12 |
1,042,498 | ||||||
601,872 | BRHEA 2006-A A2R 3ML+75 12/41 |
601,105 | ||||||
547,752 | BSCMS 2006-PW12 A2 5.688 9/38 |
554,961 | ||||||
335,620 | BSCMS 2006-T24 A1 CSTR 10/41 |
341,101 | ||||||
29,212 | BSCMS 2007-PW15 A1 5.016% 2/44 |
29,820 |
28
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
335,939 | BSCMS 2007-PW17 A1 5.282% 6/50 |
$ | 343,230 | |||||
169,824 | BSCMS 2007-T28 A1 5.422% 9/42 |
174,849 | ||||||
58,891,655 | BSCMS 2007-T28 X2 CSTR 9/42 |
475,953 | ||||||
1,800,000 | C 6.5% 08/13 SNR DT |
2,019,406 | ||||||
530,000 | CANADIAN IMP BK 2.35% 12/11/15 |
518,956 | ||||||
399,000 | CARAT 2007-1 B 5.15% 9/12 |
411,764 | ||||||
1,773,000 | CARGILL INC 6.375% 6/12 144A |
1,909,116 | ||||||
454,000 | CATERPILLAR FIN SVC MTN 2% 4/13 |
464,021 | ||||||
610,000 | CATERPILR FI INC MTN 1.55% 12/13 |
610,867 | ||||||
328,000 | CATERPILR FIN 2.75% 6/24/15 |
332,942 | ||||||
700,000 | CCCIT 2006-A4 A4 5.45% 5/13 |
717,655 | ||||||
1,000,000 | CCCIT 2009-A3 A3 2.7% 6/13 |
1,011,452 | ||||||
610,000 | CFAST 2010-A A3 .91% 8/13 |
609,251 | ||||||
740,000 | CHAIT 2007-A17 A 5.12% 10/14 |
796,431 | ||||||
1,130,000 | CHAIT 2008-A4 A4 4.65% 3/15 |
1,218,029 | ||||||
730,000 | CHAIT 2008-A9 A9 4.3% 5/13 |
741,428 | ||||||
2,330,000 | CHAIT 2009-A3 A3 2.4% 6/13 |
2,351,813 | ||||||
545,000 | CIBC 1.45% 9/13/13 |
545,558 | ||||||
2,800,000 | CITI FDG FDIC 1.875% 10/22/12 |
2,866,138 | ||||||
1,410,000 | CITIBANK FDIC MTN 1.875% 6/4/12 |
1,436,714 | ||||||
1,700,000 | CITIGR FDG FDIC 1.875% 11/15/12 |
1,738,340 | ||||||
1,200,000 | CITIGROUP 4.75% 5/19/15 |
1,263,166 | ||||||
224,000 | CITIGROUP 5.125% 5/5/14 |
239,462 | ||||||
1,271,000 | CITIGROUP 6.375% 8/12/14 |
1,436,003 | ||||||
1,529,000 | CITIGROUP FDIC 2.875% 12/09/11 |
1,566,970 | ||||||
656,000 | COCA-COAL ENT 1.125% 11/12/13 |
650,612 | ||||||
910,000 | COCA-COLA CO 1.5% 11/15/15 |
875,200 | ||||||
70,000 | COMERICA INC 3% 9/16/15 |
69,813 | ||||||
643,000 | COMET 2006-A6 A6 5.3% 2/14 |
652,882 | ||||||
2,048,000 | COMET 2009-A2 A2 3.2% 4/14 |
2,074,156 | ||||||
213,168 | COMM 2005-C6 A2 CSTR 6/44 |
213,909 | ||||||
5,570,632 | COMM 2005-C6 XP CSTR 6/44 |
18,113 | ||||||
3,180,000 | COMMONWETH MTN 2.9% 9/17/14 144A |
3,348,120 | ||||||
592,000 | CON EDISON NY 5.55% 4/1/14 |
659,309 | ||||||
380,000 | COPAR 2007-1 B1 5.76% 12/13 |
387,426 | ||||||
331,000 | COVIDIEN INT GLB 5.45% 10/12 |
360,583 | ||||||
610,000 | COVIDIEN INTL 1.875% 6/15/13 |
617,813 | ||||||
484,074 | CPS 2006-D A4 5.115% 08/13 |
493,532 |
29
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
999 | CPS 2007-C A3 5.43% 5/12 144A |
$ | 1,004 | |||||
550,000 | CREDIT SUIS(NY)MTN 3.5% 3/23/15 |
568,606 | ||||||
3,694,000 | CREDIT SUISSE NY 5% 5/15/13 |
3,999,386 | ||||||
206,379 | CSFB 2002-CP5 A1 4.106% 12/35 |
210,169 | ||||||
169,498 | CSFB 2003-C5 A3 4.429% 12/36 |
174,101 | ||||||
118,708 | CSFB 2004-C1 A3 4.321% 1/37 |
120,489 | ||||||
29,366 | CSMC 2007-C1 A1 5.227% 2/40 |
29,605 | ||||||
8,485 | CSMC 2007-C2 A1 5.237% 1/49 |
8,521 | ||||||
817,000 | DAIMLER CHRYSLER 6.5% 11/15/13 |
931,686 | ||||||
1,978,000 | DBS BK LTD 5.125% VAR 5/17 144A |
2,059,862 | ||||||
730,000 | DCAT 2006-C B 5.11% 4/13 |
732,681 | ||||||
600,000 | DEERE J CAPMTN 1.875% 6/17/13 |
607,482 | ||||||
1,491,000 | DEUTSCHE TEL 5.375% 3/23/11 |
1,527,901 | ||||||
555,000 | DIAGEO CPTL GLB 5.2% 1/30/13 |
610,622 | ||||||
402,000 | DOMINION RESOUR 2.25% 9/1/15 |
399,182 | ||||||
1,004,000 | EDP FINANCE BV5.375% 11/12 144A |
1,025,931 | ||||||
584,000 | ENEL FIN INTL 5.7% 1/15/13144A |
634,939 | ||||||
270,000 | ERP OPERAT
LP 5.5% 10/1/12 |
295,169 | ||||||
935,000 | FHLB 0.875% 12/27/13 |
926,891 | ||||||
1,885,000 | FHLB 1.625% 11/21/12 |
1,922,580 | ||||||
2,360,000 | FHLB 1.875% 6/21/13 |
2,416,231 | ||||||
1,120,755 | FHLG 15YR 4.50% 8/18 #E98688 |
1,185,329 | ||||||
336,750 | FHLG 15YR 4.50% 9/18 #E99205 |
356,152 | ||||||
527,979 | FHLG 15YR 4.50% 10/18 #E99833 |
558,399 | ||||||
289,491 | FHLG 15YR 4.50% 11/18 #B10931 |
306,171 | ||||||
1,164,056 | FHLG 15YR 5.00% 3/19 #G13052 |
1,246,979 | ||||||
1,648,763 | FHLG 15YR 5.00% 6/24 #G13598 |
1,766,216 | ||||||
406,866 | FHLG 15YR 5.50% 4/18 #G11389 |
440,248 | ||||||
409,837 | FHLM ARM 3.53% 4/40 #1B4657 |
425,439 | ||||||
366,734 | FHLM ARM 3.58% 4/40 #1B4702 |
381,385 | ||||||
36,230 | FHLM ARM 3.88% 1/35 #848084 |
37,907 | ||||||
19,195 | FHLM ARM 4.305 6/35 #848083 |
20,208 | ||||||
62,380 | FHLM ARM 4.68% 1/36 #847584 |
65,630 | ||||||
282,173 | FHLM ARM 4.69% 11/35 #1B2428 |
297,482 | ||||||
204,323 | FHLM ARM 4.83% 11/35 #1Q0166 |
215,318 | ||||||
184,742 | FHLM ARM 4.93% 9/35 #1K1215 |
194,089 | ||||||
132,852 | FHLM ARM 5.26% 1/36 #1J1274 |
140,240 | ||||||
161,766 | FHLM ARM 5.37% 12/35 #1N0106 |
167,934 |
30
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
221,353 | FHLM ARM 5.62% 12/35 #1N0117 |
$ | 229,595 | |||||
25,136 | FHLM ARM 5.78% 10/35 #1N0063 |
26,699 | ||||||
106,874 | FHLM ARM 4.199% 8/36 #848185 |
112,389 | ||||||
204,683 | FHLM ARM 4.277% 2/35 #848090 |
215,892 | ||||||
1,464,283 | FHLM ARM 4.482% 4/35 #848088 |
1,526,332 | ||||||
28,942 | FHLM ARM 4.485% 1/35 #848089 |
30,544 | ||||||
168,805 | FHLM ARM 4.542% 4/35 #848085 |
177,860 | ||||||
140,474 | FHLM ARM 4.571% 3/35 #848186 |
147,599 | ||||||
3,755 | FHLM ARM 4.889% 3/33 #847126 |
3,966 | ||||||
157,429 | FHLM ARM 4.941% 11/35 #1J1228 |
165,771 | ||||||
54,392 | FHLM ARM 5.084% 8/35 #1J0005 |
57,458 | ||||||
93,409 | FHLM ARM 5.34% 6/35 #1L0097 |
98,556 | ||||||
3,241,000 | FHLMC .375% 11/30/12 |
3,224,036 | ||||||
6,280,000 | FHLMC .625% 12/28/12 |
6,271,726 | ||||||
1,415,000 | FHLMC 1.75% 9/10/15 |
1,398,477 | ||||||
1,500,000 | FHLMC 2.5% 1/07/14 |
1,578,163 | ||||||
448,000 | FHLMC 4.125% 12/21/12 |
478,019 | ||||||
2,539,000 | FHLMC 4.5% 1/15/14 |
2,843,754 | ||||||
2,570,000 | FHLREF NTS BE 2.5% 4/23/14 |
2,674,862 | ||||||
64,105 | FHR 2290 C 6% 2/31 |
69,537 | ||||||
97,902 | FHR 2313 C 6% 5/31 |
105,244 | ||||||
130,679 | FHR 2394 KD 6% 12/16 |
142,001 | ||||||
71,276 | FHR 2417 EH 6% 2/17 |
77,159 | ||||||
46,390 | FHR 2508 UL 5% 12/16 |
47,246 | ||||||
55,070 | FHR 2667 PC 3.8% 1/18 |
55,641 | ||||||
749,355 | FHR 2763 PD 4.5% 12/17 |
779,301 | ||||||
1,152,561 | FHR 2780 QD 4.5% 3/18 |
1,202,864 | ||||||
690,000 | FHR 2866 XE 4% 12/18 |
723,865 | ||||||
134,283 | FHR 2970 YA 5% 9/18 |
137,943 | ||||||
3,204,472 | FHR 3555 CM 4% 12/14 |
3,320,544 | ||||||
3,458,350 | FHR 3555 KH 4% 12/14 |
3,605,471 | ||||||
562,673 | FHR 3560 LA 2% 8/14 |
569,897 | ||||||
877,719 | FHR 3573 LC 1.85% 8/14 |
887,925 | ||||||
5,180,000 | FNMA .375% 12/28/12 |
5,147,284 | ||||||
5,200,000 | FNMA .5% 10/30/12 |
5,190,657 | ||||||
4,559,000 | FNMA 0.75% 12/18/13 |
4,509,311 | ||||||
5,515,000 | FNMA 1% 9/23/13 |
5,521,669 | ||||||
510,000 | FNMA 1.125% 7/30/12 |
516,866 |
31
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
820,000 | FNMA 1.25% 8/20/13 |
$ | 829,088 | |||||
12,079,343 | FNMA 15YR 3.50% 12/25 #AE0368 |
12,219,325 | ||||||
552,768 | FNMA 15YR 4.00% 9/18 #734729 |
578,751 | ||||||
431,278 | FNMA 15YR 4.50% 6/19 #745278 |
457,475 | ||||||
269,749 | FNMA 15YR 4.50% 7/20 #745874 |
286,176 | ||||||
207,264 | FNMA 15YR 4.50% 7/20 #888653 |
219,854 | ||||||
124,948 | FNMA 15YR 4.50% 8/18 #730721 |
132,557 | ||||||
4,339,139 | FNMA 15YR 4.50% 8/24 #AD0117 |
4,603,385 | ||||||
173,804 | FNMA 15YR 4.50% 11/18 #725857 |
184,388 | ||||||
8,311 | FNMA 15YR 7.00% 1/16 #535662 |
9,006 | ||||||
1,052 | FNMA 15YR 7.00% 3/12 #349639 |
1,089 | ||||||
9,849 | FNMA 15YR 7.00% 3/17 #633169 |
10,729 | ||||||
3,548 | FNMA 15YR 7.00% 5/15 #495848 |
3,832 | ||||||
20,201 | FNMA 15YR 7.00% 8/14 #783427 |
21,619 | ||||||
7,804 | FNMA 15YR 7.00% 11/18 #735420 |
8,452 | ||||||
1,277,000 | FNMA 2.5% 5/15/14 |
1,328,986 | ||||||
4,750,000 | FNMA 2.75% 3/13/14 |
5,003,949 | ||||||
28,915 | FNMA 20YR 5.50% 10/22 #254522 |
31,404 | ||||||
250,000 | FNMA 4.375% 9/15/12 |
269,102 | ||||||
4,355,000 | FNMA 4.625% 10/15/13 |
4,822,787 | ||||||
2,361,000 | FNMA 4.75% 11/19/12 |
2,553,548 | ||||||
588,411 | FNMA ARM 4.49% 4/35 #AD0176 |
618,059 | ||||||
47,254 | FNMA ARM 2.94% 8/35 #AD0710 |
49,549 | ||||||
543,908 | FNMA ARM 3.20% 1/40 #AC0599 |
563,294 | ||||||
67,315 | FNMA ARM 3.32% 9/34 #AD0177 |
70,508 | ||||||
623,869 | FNMA ARM 3.60% 3/40 #AD1555 |
651,584 | ||||||
1,331,386 | FNMA ARM 3.92% 2/39 #AC0036 |
1,384,173 | ||||||
235,915 | FNMA ARM 4.21% 5/35 #889946 |
247,013 | ||||||
496,478 | FNMA ARM 4.285% 7/33#AD0066 |
519,857 | ||||||
296,029 | FNMA ARM 4.30% 2/35 #995017 |
309,244 | ||||||
397,632 | FNMA ARM 4.38% 10/37 #AD0713 |
419,083 | ||||||
243,456 | FNMA ARM 4.53% 12/34 #802852 |
255,280 | ||||||
308,578 | FNMA ARM 4.58% 7/35 #826362 |
323,565 | ||||||
380,403 | FNMA ARM 4.59% 7/35 #995016 |
399,979 | ||||||
219,376 | FNMA ARM 4.68% 11/34 #735011 |
229,998 | ||||||
42,637 | FNMA ARM 4.75% 5/35 #815626 |
44,757 | ||||||
65,763 | FNMA ARM 4.82% 2/36 #AD0175 |
68,867 | ||||||
108,570 | FNMA ARM 4.96% 6/35 #825388 |
114,001 |
32
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
50,396 | FNMA ARM 5.12% 6/35 #823810 |
$ | 53,252 | |||||
13,463 | FNMA ARM 5.280% 3/35 #843014 |
13,954 | ||||||
17,635 | FNMA ARM 6.25% 6/36 #886983 |
18,518 | ||||||
1,153,771 | FNMA ARM 4.198% 11/34 #841068 |
1,213,038 | ||||||
94,786 | FNMA ARM 4.428% 7/36 #555923 |
98,878 | ||||||
236,331 | FNMA ARM 4.564% 4/33 #713937 |
244,233 | ||||||
137,355 | FNMA ARM 4.58% 7/35 #995273 |
144,653 | ||||||
4,017 | FNMA ARM 4.653% 3/35 #816322 |
4,175 | ||||||
6,863 | FNMA ARM 4.765% 1/34 #995274 |
7,225 | ||||||
40,745 | FNMA ARM 4.893% 10/35 #847787 |
42,366 | ||||||
24,995 | FNMA ARM 4.898% 5/35 #995272 |
26,319 | ||||||
9,982 | FNMA ARM 5.344% 7/35 #834917 |
10,331 | ||||||
22,829 | FNMA ARM 5.349% 12/34 #843013 |
23,600 | ||||||
151,154 | FNMA ARM 5.541% 11/36 #745972 |
159,645 | ||||||
38,780 | FNMA ARM 3.752% 10/33 #755148 |
40,065 | ||||||
22,782 | FNMA ARM 3.753% 10/33 #746320 |
23,891 | ||||||
2,614 | FNMA ARM 3.984% 5/33 #703915 |
2,731 | ||||||
8,324 | FNMA ARM 4.293% 3/35 #815586 |
8,704 | ||||||
14,706 | FNMA ARM 4.358% 10/33 #754672 |
15,238 | ||||||
245,629 | FNMA ARM 4.512% 12/36 #995606 |
259,122 | ||||||
64,649 | FNMA ARM 4.513% 12/34 #802695 |
67,336 | ||||||
278,818 | FNMA ARM 4.53% 10/35 #995414 |
291,988 | ||||||
299,302 | FNMA ARM 4.545% 12/36 #995607 |
314,596 | ||||||
1,413,000 | FNMA ARM 4.55% 10/35 #995415 |
1,481,529 | ||||||
23,266 | FNMA ARM 4.801% 2/33 #695019 |
24,057 | ||||||
17,415 | FNMA ARM 5.05% 7/34 #801635 |
18,179 | ||||||
107,289 | FNMA ARM 5.075% 7/34 #995609 |
113,414 | ||||||
111,609 | FNR 2002-56 MC 5.5% 9/17 |
120,158 | ||||||
141,961 | FNR 2004-15 AB 4% 9/17 |
147,147 | ||||||
216,849 | FNR 2004-3 HA 4% 7/17 |
223,059 | ||||||
1,770,956 | FNR 2008-95 AD 4.5% 12/23 |
1,874,070 | ||||||
587,413 | FNR 2010-123 DL 3.5% 11/25 |
611,181 | ||||||
923,408 | FNR 2010-143 B 3.5% 12/25 |
961,596 | ||||||
587,895 | FORDO 2006-B B 5.43% 2/12 |
593,107 | ||||||
390,000 | FORDO 2006-C B 5.3% 6/12 |
399,625 | ||||||
230,000 | FORDO 2007-A B 5.6% 10/12 |
240,254 | ||||||
741,123 | FORDO 2009-B A3 2.79% 8/13TALF |
751,788 | ||||||
460,000 | FORDO 2009-C A4 4.43% 11/14 |
490,403 |
33
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
400,000 | FORDO 2009-D A3 2.17% 10/13 |
$ | 404,910 | |||||
700,000 | FORDO 2009-E A3 1.51% 1/14 |
705,793 | ||||||
560,000 | FORDO 2010-B A3 0.98% 10/14 |
561,725 | ||||||
847,000 | FRANCE TELE MTN 4.375% 7/14 DT |
922,803 | ||||||
202,000 | FRANCE TELECOM 2.125% 9/16/15 |
197,886 | ||||||
118,000 | FRNK 2006-1 B1 5.14% 7/14 |
118,702 | ||||||
418,000 | FRNK 2007-1 B 5.13% 2/15 |
431,801 | ||||||
31,453,158 | GCCFC 2007-GG11 XP .48% 12/49 |
304,572 | ||||||
598,000 | GE CAP CORP 2.25% 11/9/15 |
576,834 | ||||||
3,434,000 | GE CAP CORP 3.5% 8/12 |
3,603,700 | ||||||
3,238,000 | GE CAP FDIC 3% 12/09/11 |
3,321,781 | ||||||
2,160,000 | GE CAP FDIC GMTN 2% 9/28/12 |
2,217,486 | ||||||
1,916,000 | GE CAP FDIC MTN 2.625% 12/28/12 |
1,987,666 | ||||||
345,000 | GE CAP MTN 2.8% 1/08/13 |
357,336 | ||||||
362,000 | GE CAP MTN 3.5% 6/28/15 |
368,413 | ||||||
16,682,061 | GECMC 2007-C1 XP CSTR 12/49 |
98,208 | ||||||
1,700,000 | GEMNT 2009-3 A 2.54% 9/14 |
1,722,344 | ||||||
1,316,000 | GENERAL ELEC MTN 1.875% 9/13 |
1,323,901 | ||||||
327,000 | GLAXOSMTH KLINE 4.85% 5/15/13 |
357,082 | ||||||
134,928 | GMACC 2004-C2 A2 CSTR 8/38 |
136,788 | ||||||
1,704,962 | GMACC 2005-C1 X2 CSTR 5/43 |
15,210 | ||||||
989,000 | GOLDMAN FDIC 3.25% 6/15/12 |
1,028,105 | ||||||
600,000 | GOLDMAN SA FDIC 2.15% 3/12 |
615,482 | ||||||
422,000 | GOLDMAN SACHS 4.75% 7/15/13 DT |
458,789 | ||||||
951,000 | GOLDMAN SACHS MTN 3.7% 8/1/15 |
983,940 | ||||||
8,147 | GPMH 2001-1 IA 1ML+34 4/32 |
8,084 | ||||||
53,724 | GSALT 2007-1 B 5.53% 12/14 |
55,085 | ||||||
370,000 | GSMS 2005-GG4 A3 4.607 7/39 |
377,045 | ||||||
300,344 | GSMS 2006-GG6 A2 5.506% 4/38 |
303,295 | ||||||
350,000 | GSMS 2006-GG8 A2 5.479 11/39 |
357,929 | ||||||
477,230 | HAROT 2009-3 A3 2.31% 5/13 |
483,051 | ||||||
240,000 | HAROT 2010-1 A4 1.98% 5/23/16 |
244,298 | ||||||
670,000 | HAROT 2010-2 A3 1.34% 3/14 |
675,314 | ||||||
1,270,000 | HAROT 2010-3 A3 .7% 5/13 |
1,264,380 | ||||||
380,000 | HART 2009-A A3 2.03% 8/13 |
384,659 | ||||||
556,642 | HAT 2007-1 A4 5.33% 11/13 |
564,630 | ||||||
555,000 | HSBC USA FDIC 3.125% 12/16/11 |
570,044 | ||||||
910,000 | ING BANK NV 2% 10/18/13 144A |
902,733 |
34
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
434,000 | JACKSON NATL 5.375% 5/8/13 144 |
$ | 472,387 | |||||
277,000 | JOHN DEERE
CAP 2.95% 3/9/15 |
287,098 | ||||||
2,975,000 | JPMC CO MTN 4.65% 6/14 |
3,187,010 | ||||||
31,298 | JPMCC 07-LDP10 A-1 5.122% 1/49 |
31,654 | ||||||
625,745 | JPMCC 2004-CB9 A2 CSTR 6/41 |
633,497 | ||||||
615,000 | JPMCC 2005-LDP2 A3 4.697% 7/42 |
632,381 | ||||||
15,254,912 | JPMCC 2005-LDP4 X2 CSTR 10/42 |
63,671 | ||||||
267,167 | JPMCC 2006-LDP7 A2 CSTR 4/45 |
271,542 | ||||||
110,737 | JPMCC 2006-LDP9 A1 CSTR 5/47 |
112,117 | ||||||
2,028,000 | JPMORGAN CHASE CO 3.4% 6/24/15 |
2,069,404 | ||||||
817,000 | JPMORGAN FDIC 3.125% 12/1/11 DT |
839,466 | ||||||
192,753 | JPMRT 2006-A A4 5.14% 12/14 |
193,525 | ||||||
19,738,893 | LBUBS 04-C1
XCP 1.0542% 1/17/2034 |
14,011 | ||||||
904 | LBUBS 2000-C5 A2 6.51% 12/26 |
908 | ||||||
1,505,557 | LBUBS 2000-C5 E 7.29% 12/32 |
1,511,442 | ||||||
361,364 | LBUBS 2001-C3 B 6.512% 6/36 |
370,543 | ||||||
15,704,704 | LBUBS 2005-C5 XCP CSTR 9/40 |
121,448 | ||||||
18,323,861 | LBUBS 2005-C7 XCP CSTR 11/40 |
77,253 | ||||||
7,119 | LBUBS 2006-C3 A1 5.478% 3/32 |
7,145 | ||||||
149,993 | LBUBS 2006-C6 A1 5.23% 9/39 |
150,507 | ||||||
36,463 | LBUBS 2006-C7 A1 5.279% 11/38 |
37,013 | ||||||
82,275 | LBUBS 2007-C1 A1 CSTR 2/40 |
83,933 | ||||||
180,732 | LLL 1997-LLI D 7.15% 10/34 |
186,006 | ||||||
1,651,000 | MANUFTRS & TRD 3.85% VAR 4/1/13 |
1,638,839 | ||||||
500,000 | MASSMUTUAL GL 3.625% 7/12 144A |
526,535 | ||||||
520,000 | MBART 2009-1 A3 1% 1/15/14 |
525,567 | ||||||
600,000 | MERCK & CO INC 2.15% 1/15/16 |
593,245 | ||||||
600,000 | MERRILL LYN CO 5.45% 2/05/13 |
646,138 | ||||||
346,000 | MERRILL LYNCH 5.45% 7/15/14 |
372,457 | ||||||
1,253,000 | MET LIFE GBL 2.875% 9/17/12 144 |
1,294,649 | ||||||
1,000,000 | MET LIFE GLBL 2.5% 9/29/15 144A |
991,870 | ||||||
959,000 | METROPOLITAN MTN 2.5% 1/13 144A |
991,266 | ||||||
917,000 | MIDAMERICAN ENRG 5.65% 7/15/12 |
1,003,665 | ||||||
61,390 | MLCFC 2007-6 A1 5.175% 3/51 |
62,323 | ||||||
141,000 | MLCFC 2007-8 A1 4.622% 8/49 |
144,065 | ||||||
478,384 | MLMT 2004-MKB1 A2 4.353% 2/42 |
480,273 | ||||||
1,030,107 | MLMT 2005-MKB2 XP CSTR 9/42 |
6,000 | ||||||
199,000 | MONUMENTAL GLBL 5.5% 4/13 144A |
215,052 |
35
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
1,450,000 | MORGAN STAN FDIC 3.25% 12/1/11 |
$ | 1,491,655 | |||||
610,000 | MORGAN STANLEY 3.45% 11/2/15 |
598,172 | ||||||
610,000 | MORGAN STANLEY 4% 7/24/15 |
623,668 | ||||||
2,228,000 | MORGAN STANLEY 4.1% 1/26/15 |
2,299,670 | ||||||
720,000 | MORGAN STANLEY 6% 5/13/14 |
783,706 | ||||||
236,252 | MSC 2006-HQ9 A1 5.49% 7/44 |
239,356 | ||||||
32,973 | MSC 2006-T23 A1 5.682% 8/41 |
33,328 | ||||||
91,315 | MSC 2007-HQ11 A1 5.246% 2/44 |
92,718 | ||||||
151,942 | MSC 2007-IQ13 A1 5.05% 3/44 |
154,310 | ||||||
100,928 | MVCOT 2006-2A A 5.417% 10/28 |
103,514 | ||||||
34,779 | MVCOT 2006-2A B 5.467% 10/28 |
32,447 | ||||||
15,809 | MVCOT 2006-2A C 5.766% 10/28 |
14,945 | ||||||
750,000 | NALT 2009-B A3 1% 1/15 |
755,753 | ||||||
480,000 | NALT 2010-A A2 1.1% 3/13 |
480,748 | ||||||
570,000 | NALT 2010-B A3 1% 12/15/13 |
569,119 | ||||||
750,000 | NATL AUST BK 5.35% 6/12/13 144 |
814,448 | ||||||
1,767,000 | NATLAUST BK 2.35% 11/16/12 144A |
1,805,643 | ||||||
463,817 | NEF 2005-1 A5 4.74% 10/45 |
465,031 | ||||||
910,000 | NORDEA BK AG 1.75% 10/4/13 144A |
909,356 | ||||||
165,000 | NORTHERN TR CO 4.625% 5/1/14 |
179,658 | ||||||
175,000 | NORTHERN TRUST CO 5.5% 8/15/13 |
197,356 | ||||||
670,000 | NY LIFE 2.25% 12/14/12 144A |
687,094 | ||||||
921,000 | NYLIFE GLB 4.65% 5/9/13 144A |
996,606 | ||||||
114,000 | ORIX CORP 5.48% 11/22/11 |
118,963 | ||||||
540,000 | PACIFIC GAS & ELEC 6.25% 12/13 |
608,164 | ||||||
624,000 | PECO ENERGY MTN 5.6% 10/15/13 |
698,461 | ||||||
595,000 | PEPSICO INC 7.9% 11/01/18 |
773,369 | ||||||
970,000 | PNC FUND CORP MTN 3% 5/19/14 |
991,115 | ||||||
660,000 | PNCFUND MTN 3.625% 2/8/15 |
691,913 | ||||||
660,000 | PRICOA GLB 1 MTN 5.45% 6/14 144A |
733,672 | ||||||
345,000 | PRICOA GLB FDG 5.4% 10/12 144A |
373,159 | ||||||
481,000 | PUBLIC SVC ELEC 2.7% 5/01/15 |
487,447 | ||||||
590,000 | RABOBANK NED 3.2% 3/11/15 144A |
606,389 | ||||||
2,815,000 | RABOBANK NEDER 2.65% 8/12 144A |
2,915,312 | ||||||
600,000 | RBS 3.4% 08/13 SNR |
613,291 | ||||||
1,709,000 | ROYAL BK CANADA 1.125% 1/15/14 |
1,689,887 | ||||||
982,000 | ROYAL BK CDA GMTN 2.625% 12/15 |
985,131 | ||||||
1,690,000 | ROYAL BK SCT 1.5% 3/30/12 144A |
1,706,741 |
36
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
1,080,000 | SANTANDER US 2.485% 1/13 144A |
$ | 1,057,275 | |||||
260,000 | SBC COMM GLBL 5.875% 2/01/12 |
280,082 | ||||||
1,190,000 | SHELL INTL MTN 1.875 3/25/13 |
1,213,898 | ||||||
464,000 | SIMON PROPERTY 5.3% 5/30/13 |
507,941 | ||||||
198,749 | SLMA 2004-A B 3ML+58 6/33 |
104,782 | ||||||
482,000 | SOUTHERN CO 2.375% 9/15/15 |
477,785 | ||||||
239,000 | SOUTHERN CO 4.15% 5/14 |
252,812 | ||||||
140,000 | STATE ST
CORP 4.3% 5/30/14 DT |
150,304 | ||||||
2,382,000 | SVENSKA MTN 2.875 9/14/12 144A |
2,460,135 | ||||||
310,000 | TAOT 2010-A A3 1.27% 12/13 |
312,050 | ||||||
370,000 | TAOT 2010-B A3 1.04% 2/14 |
371,739 | ||||||
270,846 | TAROT 2006-B A4 5.52% 11/12 |
271,998 | ||||||
624,531 | TAROT 2006-C A4 5.31% 5/13 |
634,373 | ||||||
1,500,000 | TELEFONICA EMIS 2.582% 4/26/13 |
1,508,200 | ||||||
928,000 | TRANSCAPIT 5.67% 3/5/14 144A |
1,001,025 | ||||||
989,000 | UNCREDIT LUX 5.584/VAR 1/13/17 |
981,251 | ||||||
600,000 | UNION BK NA 2.125% 12/16/13 |
599,488 | ||||||
610,000 | US BANCORP 2.45% 7/27/15 |
612,479 | ||||||
284,000 | US BANCORP 3.15% 3/4/15 |
295,061 | ||||||
1,030,000 | US BANCORP MTN 4.2% 5/15/14 |
1,105,790 | ||||||
1,020,000 | US CNTRL FED CU 1.9% 10/19/12 |
1,045,258 | ||||||
940,000 | USAOT 2009-2 A3 1.54% 02/14 |
947,438 | ||||||
2,794,000 | USTN .375% 9/30/12 |
2,790,019 | ||||||
5,227,000 | USTN 0.75% 12/15/13 |
5,191,672 | ||||||
30,000,000 | USTN 1.25% 8/31/15 |
29,302,680 | ||||||
37,520,000 | USTN 1.375% 2/15/13 |
38,280,591 | ||||||
23,193,000 | USTN 1.75% 3/31/14 |
23,752,064 | ||||||
16,475,000 | USTN 1.75% 4/15/13 |
16,915,212 | ||||||
3,096,000 | USTN 1.75% 7/31/15 |
3,108,766 | ||||||
6,549,000 | USTN 1.875% 2/28/14 |
6,748,305 | ||||||
14,661,000 | USTN 1.875% 4/30/14 |
15,041,384 | ||||||
2,866,000 | USTN 1.875% 6/30/15 |
2,877,567 | ||||||
13,768,000 | USTN 2% 11/30/13 |
14,198,790 | ||||||
5,225,000 | USTN 2.125% 5/31/15 |
5,318,101 | ||||||
11,500,000 | USTN 2.375% 10/31/14 |
11,950,669 | ||||||
1,546,000 | USTN 2.375% 9/30/14 |
1,610,699 | ||||||
20,800,000 | USTN 2.5% 3/31/15 |
21,663,255 | ||||||
22,501,000 | USTN 2.5% 4/30/15 |
23,358,508 |
37
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
3,243,000 | USTN 2.75% 10/31/13 |
$ | 3,424,386 | |||||
20,060,000 | USTN 3.125% 10/31/16 |
21,033,585 | ||||||
17,852,900 | USTN 3.125% 9/30/13 |
19,081,951 | ||||||
681,000 | VERIZON COM INC 5.25% 4/15/13 |
747,991 | ||||||
540,000 | VERIZON NE GLB 6.5% 9/15/11 DT |
571,337 | ||||||
669,000 | VERIZON WIRELESS 5.25% 2/1/12 |
714,849 | ||||||
2,047,000 | VERIZON WRLSS 3.75% 5/20/11 |
2,080,837 | ||||||
310,000 | VODAFONE GRP PLC 4.15% 6/10/14 |
326,616 | ||||||
289,000 | VODAFONE GRP PLC 5.5% 6/15/11 |
295,998 | ||||||
733,774 | VWALT 2009-A A3 3.41% 4/12 |
742,682 | ||||||
1,220,000 | VWALT 2010-A A3 0.85% 11/13 |
1,217,750 | ||||||
504,000 | VWIF 1.625% 8/12/13 144A |
506,904 | ||||||
751,000 | WAL MART STORES 2.25% 7/08/15 |
754,282 | ||||||
865,000 | WALMART STORES MTN 3.2% 5/14 |
908,267 | ||||||
863,000 | WALOT 2006-1 C 5.22% 11/12 |
865,715 | ||||||
186,141 | WALOT 2006-1B 5.15% 7/12 |
186,846 | ||||||
11,644 | WALOT 2006-2 B 5.29% 6/12 |
11,690 | ||||||
316,000 | WALOT 2006-2 C 5.34% 10/12 |
318,838 | ||||||
886,000 | WALOT 2007-1 B 5.38% 7/12 |
896,519 | ||||||
616,000 | WALOT 2007-1 C 5.45% 10/12 |
629,172 | ||||||
574,000 | WASHINGTON REIT 5.95% 6/15/11 |
585,767 | ||||||
207,577 | WBCMT 05-C16 APB 4.692% 10/41 |
217,629 | ||||||
284,552 | WBCMT 2004-C11 A3 4.719% 1/41 |
286,959 | ||||||
1,067,195 | WBCMT 2004-C15 A2 4.039% 10/41 |
1,076,233 | ||||||
592,668 | WBCMT 2006-C29 A1 5.121% 11/48 |
600,823 | ||||||
30,092 | WBCMT 2007-C30 A1 5.031% 12/43 |
30,270 | ||||||
17,004,375 | WBCMT 2007-C30 XP CSTR 12/43 |
225,418 | ||||||
731,000 | WBCMT 2007-C31A A2 5.421% 4/47 |
758,271 | ||||||
7,643,000 | WELLS FAR FDIC 3% 12/09/11 |
7,840,758 | ||||||
2,048,000 | WELLS FARGO 3.75% 10/1/14 |
2,157,076 | ||||||
371,000 | WELLS FARGO 5.25% 10/23/12 |
401,420 | ||||||
941,000 | WELLS FARGO MTN 3.625% 4/15/15 |
982,965 | ||||||
398,000 | WESTPAC BANK
CORP 2.1% 8/2/13 |
405,479 | ||||||
1,292,000 | WESTPAC BK
CORP 1.85% 12/09/13 |
1,296,943 | ||||||
420,000 | WOART 2010-A A3 1.34% 12/13 |
423,000 | ||||||
321,000 | WYETH 5.5% 2/01/14 |
364,215 | ||||||
540,000 | YALE UNIV MTN 2.9% 10/15/14 |
560,278 | ||||||
Total Wrap Rebid Value |
1,383,039 | |||||||
38
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
Total Synthetic Investment Contracts |
$ | 596,176,245 | ||||||
Mutual Funds |
||||||||
Fidelity BrokerageLink* |
$ | 208,777,963 | ||||||
4,403,023 | Dodge & Cox Stock Fund |
474,469,754 | ||||||
Total Mutual Funds |
$ | 683,247,717 | ||||||
U.S. Government and Agency Securities |
||||||||
United States Treasury Notes |
||||||||
1,780,000 | USTN 0.75% 12/15/13 |
$ | 1,767,346 | |||||
2,650,000 | USTN 2.125% 12/31/15 |
2,664,077 | ||||||
10,130,000 | USTN 2.25% 11/30/17 |
9,850,635 | ||||||
4,845,000 | USTN 2.625% 11/15/20 |
4,570,196 | ||||||
5,700,000 | USTN 2.625% 8/15/20 |
5,403,868 | ||||||
3,840,000 | USTN 2.75% 12/31/17 |
3,848,402 | ||||||
5,460,000 | USTN 3.5% 5/15/20 |
5,593,115 | ||||||
2,022,000 | USTN TII 1.75% 1/15/28 |
2,149,250 | ||||||
1,050,000 | USTN TII 2% 2/15/40 |
1,126,765 | ||||||
307,000 | USTN TII 2.375% 1/15/25 |
396,627 | ||||||
910,000 | USTN TII 2.5% 1/15/29 |
1,051,450 | ||||||
Total United States Treasury Notes |
$ | 38,421,731 | ||||||
United States Treasury Bonds |
||||||||
4,790,000 | USTB 4.25% 11/15/40 |
$ | 4,712,163 | |||||
7,750,000 | USTPRIN 2/15/25 |
4,302,831 | ||||||
Total United States Treasury Bonds |
$ | 9,014,994 | ||||||
Federal Agency Obligations |
||||||||
Federal National Mortgage Association |
||||||||
1,960,000 | FANNIEMAE 5.625% 7/15/37 |
$ | 2,202,599 | |||||
2,970,000 | FNMA 0% 10/9/19 |
1,875,326 | ||||||
2,500,000 | FNMA 1.35% 8/16/13 |
2,501,978 | ||||||
2,200,000 | FNMA 4.75% 2/21/13 |
2,382,754 | ||||||
5,700,000 | FNMA DN 0% 7/08/11 |
5,694,699 | ||||||
600,000 | FNMA 3.50% 1/41 #TBA |
574,173 | ||||||
10,300,000 | FNMA 4.00% 1/41 #TBA |
10,246,086 | ||||||
1,000,000 | FNMA 4.00% 2/41 #TBA |
991,836 | ||||||
1,000,000 | FNMA 4.50% 1/41 #TBA |
1,026,641 |
39
Shares or | ||||||||
Units | Description | Current Value | ||||||
U.S. Government and Agency Securities (continued) |
||||||||
Federal Agency Obligations (continued) |
||||||||
Federal National Mortgage Association (continued) |
||||||||
100,000 | FNMA 5.00% 1/41 #TBA |
$ | 105,133 | |||||
8,500,000 | FNMA 5.50% #TBA |
9,094,336 | ||||||
280,433 | FNMA 5.50% 11/36 #745959 |
300,797 | ||||||
4,000,000 | FNMA 6.00% #TBA |
4,338,750 | ||||||
8,500,000 | FNMA 6.00% 1/41 #TBA |
9,237,110 | ||||||
128,308 | FNMA 6.00% 5/35 #821192 |
140,307 | ||||||
117,519 | FNMA 6.00% 9/37 #952504 |
127,958 | ||||||
44,760 | FNMA 6.00% 10/35 #745000 |
48,855 | ||||||
76,635 | FNMA 6.50% 1/37 #897910 |
85,101 | ||||||
2,400,000 | FNMA 6.50% 1/40 #TBA |
2,667,000 | ||||||
107,554 | FNMA 6.50% 5/36 #895817 |
119,839 | ||||||
172,805 | FNMA 6.50% 8/36 #745744 |
191,786 | ||||||
158,744 | FNMA 6.50% 9/36 #897131 |
176,181 | ||||||
10,000,000 | FNMA 15YR 3.50% 1/26 #TBA |
10,071,875 | ||||||
3,300,000 | FNMA 5.50% SHORT #TBA |
3,524,813 | ||||||
549,430 | FNMA ARM 5.51% 2/37 #913990 |
575,605 | ||||||
367,206 | FNR 2004-38 FK 1ML+35 5/34 |
367,062 | ||||||
979,196 | FNR 2010-110 AE 9.75% 11/18 |
1,146,858 | ||||||
Total Federal National Mortgage Association |
$ | 69,815,458 | ||||||
Government National Mortgage Association |
||||||||
198,275 | GNII 5.00% 9/40 #004802 |
$ | 211,055 | |||||
8,000,000 | GNII II 4.00% 01/41 #TBA |
8,046,875 | ||||||
5,500,000 | GNII II 4.50% 1/41 #TBA |
5,710,977 | ||||||
97,136 | GNII II 5.00% 7/40 #004747 |
103,275 | ||||||
1,006,308 | GNII II 5.00% 8/40 #004772 |
1,071,167 | ||||||
3,300,000 | GNII II 5.50% 1/41 #TBA |
3,553,945 | ||||||
5,900,000 | GNII II 6.00% 1/41 #TBA |
6,442,984 | ||||||
1,800,000 | GNMA 3.50% 1/41 #TBA |
1,732,500 | ||||||
100,000 | GNMA 4.00% 1/41 #TBA |
100,680 | ||||||
1,100,000 | GNMA 6.00% #TBA |
1,208,109 | ||||||
389,325 | GNMA II 5.00% 7/40 #783050 |
413,932 | ||||||
205,284 | GNR 2005-13 SD -1ML+680 2/35 |
31,935 | ||||||
289,252 | GNR 2005-81 SD -1ML+630 12/34 |
31,114 | ||||||
593,556 | GNR 2006-47 SA 1ML+680 8/36 |
110,178 | ||||||
506,034 | GNR 2009-61 WQ 1ML+625 11/35 |
68,673 |
40
Shares or | ||||||||
Units | Description | Current Value | ||||||
U.S. Government and Agency Securities (continued) |
||||||||
Federal Agency Obligations (continued) |
||||||||
Government National Mortgage Association (continued) |
||||||||
1,849,085 | GNR 2009-HO1 FA 1.4% 11/59 |
$ | 1,928,257 | |||||
499,978 | GNR 2010-14 SC -1ML+480 8/35 |
66,755 | ||||||
367,518 | GNR 2010-47 VS -1ML+625 11/37 |
48,056 | ||||||
635,316 | GNR 2010-87 SK IML+650 7/40 |
87,497 | ||||||
843,421 | GNR 2010-H010 FC 1ML+100 5/60 |
850,626 | ||||||
1,529,784 | GNR 2010-H20 AF 1ML+33 10/60 |
1,529,724 | ||||||
1,350,458 | GNR 2010-H24 FA 1ML+35 10/60 |
1,350,458 | ||||||
Total Government National Mortgage Association |
$ | 34,698,772 | ||||||
Federal Home Loan Bank |
||||||||
2,780,000 | FHLB .32% 11/30/11 |
$ | 2,778,499 | |||||
2,240,000 | FHLB .5% 12/23/11 |
2,237,870 | ||||||
Total Federal Home Loan Bank |
$ | 5,016,369 | ||||||
Freddie Mac |
||||||||
313,505 | FHR 2808 FT 1ML+35 4/33 |
$ | 313,679 | |||||
726,515 | FHR 3702 FG 1ML+45 8/32 |
721,376 | ||||||
100,000 | FHR 3738 BP 4% 12/38 |
98,775 | ||||||
Total Freddie Mac |
$ | 1,133,830 | ||||||
Federal Home Loan Mortgage Corporation |
||||||||
5,700,000 | FHLMC 1.125% 6/01/11 |
$ | 5,721,974 | |||||
2,500,000 | FHLMC 1.4% 7/26/13 |
2,501,130 | ||||||
1,350,000 | FHLMC 5% 2/16/17 |
1,519,976 | ||||||
295,000 | FHLMC DN 0% 5/09/11 |
294,866 | ||||||
2,780,000 | FHLMCDN 7/06/11 |
2,777,442 | ||||||
267,667 | FHLG 5.50% 11/35 #A39302 |
286,602 | ||||||
100,000 | FHLM 4.00% 1/41 #TBA |
99,266 | ||||||
4,900,000 | FHLM 5.50% 1/41 #TBA |
5,221,180 | ||||||
389,886 | FHLM ARM 5.65% 9/37 #1G3704 |
405,239 | ||||||
99,959 | FHLM ARM 5.84% 2/37 #1N1447 |
105,524 | ||||||
218,432 | FHLM ARM 5.95% 5/37 #1N1582 |
229,064 | ||||||
231,619 | FHLM ARM 6.03% 5/37 #1N1463 |
245,031 | ||||||
711,151 | FHLM ARM 6.12% 9/37 #1G2201 |
758,336 | ||||||
300,587 | FHLM ARM 4.433% 7/35 #1B3925 |
313,939 | ||||||
1,208,962 | FHMS K009 X1 CSTR 8/20 |
111,832 | ||||||
41
Shares or | |||||||
Units | Description | Current Value | |||||
U.S. Government and Agency Securities (continued) |
|||||||
Federal Agency Obligations (continued) |
|||||||
Federal Home Loan Mortgage Corporation (continued) |
|||||||
Total Federal Home Loan Mortgage Corporation |
$ | 20,591,401 | |||||
Total U.S. Government and Agency Securities |
$ | 178,692,555 | |||||
Other Fixed Income Securities |
|||||||
Foreign Governmental Obligations |
|||||||
1,177,000 | KAUPTHING BK 7.625% 2/28/15 |
$ | 314,848 | ||||
90,000 | MEXICO GOV 6.05% 1/11/40 |
92,025 | |||||
411,000 | MEXICO GVT GLB 6.75% 9/27/34 EC |
463,403 | |||||
1,075,790 | RUSSIAN FD STP CPN 3/31/30REGS |
1,243,882 | |||||
Total Foreign Governmental Obligations |
$ | 2,114,158 | |||||
Domestic Obligations |
|||||||
390,000 | HERTZ 2009-2A A2 5.29% 3/16 |
$ | 423,601 | ||||
1,100,000 | HERTZ 2010-1A A1 2.6% 2/15 |
1,098,824 | |||||
680,000 | ABBOTT LABS 5.125% 4/01/19 |
748,724 | |||||
125,000 | AES CORP 7.75% 10/15/15 |
132,813 | |||||
106,000 | AES CORP 7.75% 3/01/14 |
112,890 | |||||
718,000 | AES CORP 8% 6/1/20 |
761,080 | |||||
160,000 | AIG 6.25% 87-37 HYBRD |
141,496 | |||||
150,000 | AIG INTL 6.4% 12/15/20 |
157,382 | |||||
334,000 | AIG INTL MTN 8.25% 8/15/18 |
384,790 | |||||
27,000 | ALCOA INC 6% 7/15/13 |
29,711 | |||||
20,000 | ALLY FINANCIAL INC 8% 3/15/20 |
21,500 | |||||
260,000 | ALTRIA GROUP INC 8.5% 11/13 |
307,746 | |||||
300,000 | ALTRIA GROUP INC 9.25% 8/6/19 |
391,512 | |||||
190,000 | AMER GENL FIN MTN 6.9 12/15/17 |
153,425 | |||||
84,000 | AMERADA HES CO 7.875% 10/01/29 |
105,422 | |||||
282,000 | AMERADA HESS CO 7.3% 8/15/31 |
338,207 | |||||
100,000 | AMERICA MOVIL 5% 3/30/20 |
103,945 | |||||
169,000 | AMERICA MOVIL 5.625% 11/15/17 |
184,237 | |||||
49,000 | AMERICAN EXP MTN 5.875% 5/13 |
53,289 | |||||
77,000 | AMERICAN INTL 5.85% 1/16/18 |
79,398 | |||||
293,000 | AMEX 6.8% 9/01/66 |
290,070 | |||||
670,000 | AMEX MTN 8.125% 5/20/19 |
833,621 | |||||
55,000 | ANADARKO PETRO 6.375% 9/15/17 |
59,912 |
42
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
420,000 | ANHEUSER BUSCH 5% 4/15/20 |
$ | 443,911 | |||||
440,000 | ANHEUSER BUSCH 5.375% 1/15/20 |
476,779 | ||||||
341,000 | APACHE CORP 6% 9/15/13 |
382,907 | ||||||
100,000 | APACHE CORP MTN 5.1% 9/01/40 |
97,164 | ||||||
167,000 | AT&T INC 5.5% 2/01/18 |
185,517 | ||||||
210,000 | AT&T INC 6.3% 1/15/38 |
221,539 | ||||||
370,000 | AT&T INC 6.55% 2/15/39 |
402,728 | ||||||
341,000 | BAC 8% PERP SERIES K PFD |
341,000 | ||||||
14,000 | BAC CAP XIV 5.63% VR PERP |
9,943 | ||||||
377,000 | BAKER HUGHES IN 7.5% 11/15/18 |
472,738 | ||||||
440,000 | BALL CORP 5.75% 5/15/21 |
426,800 | ||||||
200,000 | BALL CORP 6.75% 9/15/20 |
210,000 | ||||||
670,000 | BANK AMER 4.5% 4/1/15 |
680,944 | ||||||
410,000 | BANK OF AMER MTN 7.625 6/1/19 |
472,088 | ||||||
880,000 | BANK OF AMERICA 5.625% 7/01/20 |
897,153 | ||||||
340,000 | BANK TOKYO MIT 3.85% 1/15 144A |
354,481 | ||||||
100,000 | BANKAMER CAP 8.07% 12/31/26 144 |
100,625 | ||||||
300,000 | BARCLAYS BANK MTN 5.2% 7/10/14 |
324,025 | ||||||
140,000 | BARCLAYS BK 6.05% 12/4/17 144A |
143,612 | ||||||
170,000 | BARRICK GOLD 6.95% 4/01/19 |
208,604 | ||||||
(740,000 | ) | BC INT RATE
SWAP 2/15/25 |
(421,732 | ) | ||||
740,000 | BC INT RATE
SWAP 2/15/25 |
381,045 | ||||||
(570,000 | ) | BC INT RATE SWAP PAY 2/15/25 |
(324,847 | ) | ||||
570,000 | BC INT RATE SWAP PAY 2/15/25 |
296,424 | ||||||
(2,530,000 | ) | BC ZC INT
RATE SWAP PAY 2/15/25 |
(1,441,866 | ) | ||||
2,530,000 | BC ZC INT
RATE SWAP PAY 2/15/25 |
1,299,695 | ||||||
97,000 | BEAR 7.25% 2/01/18 |
114,951 | ||||||
21,000 | BELLSOUTH 4.75% 11/15/12 |
22,401 | ||||||
400,000 | BERK HATH INC 3.2% 2/11/15 |
412,752 | ||||||
540,000 | BHP BILLITON FIN USA 6.5% 4/1/19 |
642,138 | ||||||
190,000 | BOEING CAP MTN 4.7% 10/27/19 |
201,437 | ||||||
120,000 | BOEING CO 4.875% 2/15/20 |
129,179 | ||||||
200,000 | BOEING CO MTN 6% 3/15/19 |
230,104 | ||||||
98,000 | BOYD GAMING 7.125% 2/01/16 |
87,955 | ||||||
680,000 | BP CAP MARKETS 3.125% 10/1/15 |
679,533 | ||||||
190,000 | CALPINE CONSTR 8% 6/01/16 144A |
200,925 | ||||||
290,000 | CALPINE CORP 7.5% 2/15/21 144A |
285,650 |
43
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
495,000 | CATERPILR FIN SERV 6.2 9/30/13 |
$ | 555,729 | |||||
(714,302 | ) | CDS- ABX 37YR 5/25/46 SWAP |
(558,049 | ) | ||||
714,302 | CDS- ABX 37YR 5/25/46 SWAP |
714,302 | ||||||
(790,000 | ) | CDS CMBX @200BPS 12/13/49 SWP |
(758,321 | ) | ||||
790,000 | CDS CMBX @200BPS 12/13/49 SWP |
790,000 | ||||||
(390,000 | ) | CDS CMBX@134 BPS 42.2 SWP |
(380,640 | ) | ||||
390,000 | CDS CMBX@134 BPS 42.2 SWP |
390,000 | ||||||
(220,000 | ) | CDS CMBX@234BPS 40.6 YR SWP |
(220,000 | ) | ||||
220,000 | CDS CMBX@234BPS 40.6 YR SWP |
210,848 | ||||||
(230,000 | ) | CDS CMBX3 12/13/49 SWAP |
(220,777 | ) | ||||
230,000 | CDS CMBX3 12/13/49 SWAP |
230,000 | ||||||
(190,000 | ) | CDS CMBX3 SWP |
(182,381 | ) | ||||
190,000 | CDS CMBX3 SWP |
190,000 | ||||||
(400,000 | ) | CDS CMBX4 12/13/49 SWAP |
(383,960 | ) | ||||
400,000 | CDS CMBX4 12/13/49 SWAP |
400,000 | ||||||
(310,000 | ) | CDS CMBX4 SWP |
(297,104 | ) | ||||
310,000 | CDS CMBX4 SWP |
310,000 | ||||||
(190,000 | ) | CDS CMBX5 12/13/49 SWAP |
(182,381 | ) | ||||
190,000 | CDS CMBX5 12/13/49 SWAP |
190,000 | ||||||
(350,000 | ) | CDS MBX32007BAL 12/13/49 SWP |
(335,965 | ) | ||||
350,000 | CDS MBX32007BAL 12/13/49 SWP |
350,000 | ||||||
400,000 | CDS SLMA @ 100BPS 5YR |
407,738 | ||||||
(400,000 | ) | CDS SLMA @ 100BPS 5YR SHORT |
(400,000 | ) | ||||
(1,769,747 | ) | CDS-ABX @18 BPS 37.4YR 7/25/45 |
(1,769,747 | ) | ||||
1,769,747 | CDS-ABX @18 BPS 37.4YR 7/25/45 |
1,559,590 | ||||||
(627,731 | ) | CDS-ABX.HE.AAA.06-1 37.6 SWAP SHORT |
(627,731 | ) | ||||
627,731 | CDS-ABX.HE.AAA.06-1 37.6 SWAP |
553,188 | ||||||
(378,151 | ) | CDS-ABX@18 BPS 37.4YR 7/25/45 |
(378,151 | ) | ||||
(226,891 | ) | CDS-ABX@18 BPS 37.4YR 7/25/45 |
(226,891 | ) | ||||
378,151 | CDS-ABX@18 BPS 37.4YR 7/25/45 |
333,246 | ||||||
226,891 | CDS-ABX@18 BPS 37.4YR 7/25/45 |
199,947 | ||||||
(113,445 | ) | CDSABXHEAAA06-1@18BP36.8Y |
(113,445 | ) | ||||
113,445 | CDSABXHEAAA06-1@18BP36.8Y |
99,974 | ||||||
(6,439,977 | ) | CDSCDXNAUGHVOL9@485 12/12 SWP |
(6,439,977 | ) | ||||
6,439,977 | CDSCDXNAUGHVOL9@485 12/12 SWP |
6,362,230 | ||||||
(340,000 | ) | CDSCMBX .35% 2/17/51 SWAP |
(325,856 | ) | ||||
340,000 | CDSCMBX .35% 2/17/51 SWAP |
340,000 |
44
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
(180,000 | ) | CDS-CMBX 12/13/49 SWAP |
$ | (172,782 | ) | |||
170,000 | CDS-CMBX 12/13/49 SWAP |
170,000 | ||||||
180,000 | CDS-CMBX 12/13/49 SWAP |
180,000 | ||||||
(260,000 | ) | CDSCMBX 12/13/49 SWP |
(249,574 | ) | ||||
260,000 | CDSCMBX 12/13/49 SWP |
260,000 | ||||||
(340,000 | ) | CDS-CMBX 12/13/49 SWP |
(326,366 | ) | ||||
(170,000 | ) | CDS-CMBX 12/13/49 SWP |
(163,183 | ) | ||||
340,000 | CDS-CMBX 12/13/49 SWP |
340,000 | ||||||
(920,000 | ) | CDS-CMBX SWP |
(883,108 | ) | ||||
920,000 | CDS-CMBX SWP |
920,000 | ||||||
(260,000 | ) | CDS-CMBX3L 12/13/49 SWAP |
(249,574 | ) | ||||
260,000 | CDS-CMBX3L 12/13/49 SWAP |
260,000 | ||||||
(97,327 | ) | CDSPRIMEXARM 423BPS 6/25/10 |
(97,327 | ) | ||||
(97,327 | ) | CDSPRIMEXARM 423BPS 6/25/36 |
(97,327 | ) | ||||
97,327 | CDSPRIMEXARM 423BPS 6/25/36 |
101,676 | ||||||
97,327 | CDSPRIMEXARM 423BPS 6/25/36 |
101,676 | ||||||
150,000 | CHESAPEAKE ENERGY 6.625% 8/20 |
147,000 | ||||||
20,000 | CHESAPEAKE ENERGY 6.875% 8/18 |
20,050 | ||||||
150,000 | CHESAPEAKE ENERGY 7.25% 12/18 |
154,125 | ||||||
683,000 | CITIGROUP 5% 9/15/14 |
706,548 | ||||||
650,000 | CITIGROUP 6% 12/13/13 |
710,278 | ||||||
200,000 | CITIGROUP 6.375% 8/12/14 |
221,041 | ||||||
474,000 | CITIGROUP 6.875% 3/05/38 |
525,779 | ||||||
660,000 | CITIGROUP MTN 6.01% 1/15/15 |
724,037 | ||||||
160,000 | CITIGROUP MTN 5.5% 10/15/14 |
172,392 | ||||||
195,000 | COMCAST CABLE 8.875% 5/01/17 |
243,626 | ||||||
90,000 | COMCAST CORP 5.65% 6/15/35 |
87,432 | ||||||
70,000 | COMCAST CORP 6.45% 3/15/37 |
74,793 | ||||||
697,000 | COMCAST CORP 6.5% 1/15/15 |
793,693 | ||||||
30,000 | COMCAST CORP 6.95% 8/15/37 |
33,932 | ||||||
63,000 | COMCAST CORP GLB 5.875 2/15/18 |
69,945 | ||||||
160,000 | COMCAST CORP MTN 6.4% 3/01/40 |
171,498 | ||||||
130,000 | COMMNWLTH BNK AUST 5% 10/19 144 |
136,073 | ||||||
132,000 | COMMUNITY HLTH 8.875% 7/15/15 |
138,600 | ||||||
122,000 | COMPLETE PRODTN 8% 12/15/16 |
126,270 | ||||||
300,000 | COMWLTH BK AUS 3.75% 10/14 144A |
311,221 | ||||||
117,000 | CONOCO 6.95% 4/15/29 |
143,792 |
45
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
250,000 | CONOCOPHILLIPS 6% 1/15/20 |
$ | 291,064 | |||||
260,000 | CONOCOPHILLIPS 6.5% 2/01/39 |
309,167 | ||||||
170,000 | CONSOL ENERGY 8.25% 4/1/20 144A |
181,900 | ||||||
470,000 | CONTINENTL AIR 6.75% 9/15 144A |
482,314 | ||||||
390,000 | COUNTRYWIDE FIN 6.25% 5/15/16 |
399,940 | ||||||
660,000 | CREDIT AG
MTN VAR PERP 144A |
678,150 | ||||||
190,000 | CREDIT SUISSE 5.86/VAR PERP |
179,550 | ||||||
165,000 | CRICKET COMM 7.75% 5/15/16 WI |
171,600 | ||||||
424,881 | CVS CAREMARK 6.943% 1/10/30 |
461,888 | ||||||
580,000 | CVS/CAREMARK MTN 6.6% 3/15/19 |
679,104 | ||||||
279,000 | DAIMBZNA 5.875% 3/15/11 |
281,829 | ||||||
100,000 | DAVITA INC 6.625% 11/01/20 |
98,250 | ||||||
202,000 | DEUTSCHE TK GLBL 5.75% 3/23/16 |
226,237 | ||||||
2,280,000 | DEXIA CL SA NY 2% 3/05/13 144A |
2,292,855 | ||||||
725,000 | DIAGEO CPTL PLC 4.828% 7/15/20 |
764,998 | ||||||
125,000 | DISH DBS
CORP 7.875% 9/01/19 |
130,625 | ||||||
509,000 | DOMINION RES DE 5.7% 9/17/12 |
547,707 | ||||||
260,000 | DOMINION RESOUR 8.875% 1/15/19 |
336,886 | ||||||
167,000 | DUKE ENERGY 5.625% 11/30/12 |
180,964 | ||||||
105,000 | ECHOSTAR DBS 7.75% 5/31/15 |
111,437 | ||||||
7,000 | ECHOSTAR DBS
CORP 7% 10/01/13 |
7,455 | ||||||
6,000 | EDISON MISSION 7.625 5/27 |
4,320 | ||||||
613,000 | EL PASO CORP 7% 6/15/17 |
651,313 | ||||||
125,000 | EL PASO ENERGY MTN 7.8% 8/1/31 |
124,343 | ||||||
91,000 | EL PASO ENGY MTN 7.75% 1/15/32 |
90,521 | ||||||
460,000 | EL PASO NAT GAS 8.375% 6/15/32 |
541,058 | ||||||
31,000 | ENERGY FUT CO 10% 12/01/20 |
31,775 | ||||||
310,000 | ENERGY TRANSFER 9% 4/15/19 |
388,361 | ||||||
500,000 | ENTERPRISE PRD 9.75% 1/31/14 |
603,974 | ||||||
300,000 | ENTERPRISE PROD 5.2% 9/1/20 |
310,807 | ||||||
2,720,000 | EUROPN INVT BK GLB 3.25 10/11 |
2,777,795 | ||||||
318,000 | EXELON CORP 5.625% 6/15/35 |
302,758 | ||||||
1,786,000 | FARMER MAC 7-1 5.125% 4/17 144A |
1,943,016 | ||||||
13,000 | FIRSTENERGY 6.45% 11/15/11 |
13,529 | ||||||
1,031,000 | FIRSTENERGY GL 7.375 11/15/31C |
1,086,842 | ||||||
202,000 | FMC FINANCE III 6.875% 7/15/17 |
214,120 | ||||||
606,000 | FORD MOTOR CRD LLC 12% 5/15/15 |
754,470 |
46
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
924,000 | FREEPORT MCMOR 8.375% 4/01/17 |
$ | 1,025,640 | |||||
725,000 | GE CAP CORP 11/15/67 |
717,750 | ||||||
20,000 | GE CAP CORP 6% 8/07/19 |
22,252 | ||||||
1,470,000 | GECAP MTN 6.875% 1/10/39 |
1,698,820 | ||||||
240,000 | GENERAL ELEC 4.375% 9/16/20 |
236,198 | ||||||
66,000 | GENERALE DS GEO 7.75% 5/17 |
67,320 | ||||||
94,000 | GEOPHYSIQUE CIE 7.5% 5/15/15 |
95,410 | ||||||
20,000 | GLDMN SCHS GP GLB 5.3 2/14/12 |
20,928 | ||||||
411,000 | GLITNIR 3ML+273.25 6/16 144A |
4 | ||||||
279,000 | GLITNIR BK MTN 6.33% 7/11 144A |
83,003 | ||||||
1,672,000 | GM 8.25% 7/15/23 |
581,020 | ||||||
21,000 | GM GLBL 8.375% 7/15/33 DT |
7,508 | ||||||
975,000 | GMAC LLC MTN 6.625% 5/15/12 |
1,011,563 | ||||||
116,000 | GMAC LLC MTN 7.5% 12/31/13 |
124,410 | ||||||
110,000 | GOLDMAN SACH GLB 5.25 10/15/13 |
119,044 | ||||||
40,000 | GOLDMAN SACHS 4.75% 7/15/13 EC |
42,611 | ||||||
1,110,000 | GOLDMAN SACHS 5.375% 3/15/20 |
1,147,031 | ||||||
21,000 | GOLDMAN SACHS 5.793% VR PERP |
17,798 | ||||||
50,000 | GOLDMAN SACHS 6.6% 1/15/12 |
52,873 | ||||||
210,000 | GOLDMAN SACHS GLB 7.5% 2/15/19 |
244,858 | ||||||
120,000 | GOLDMAN SACHS GR 5.45% 11/1/12 |
128,343 | ||||||
600,000 | GOLDMAN
SACHS GROUP 6% 5/14 DT |
660,983 | ||||||
70,000 | GOLDMAN SACHS MTN 3.625 8/1/12 |
72,240 | ||||||
120,000 | HBOS PLC 5.25% 2/21/17 144A |
124,446 | ||||||
277,000 | HCA INC 5.75% 3/15/14 |
270,768 | ||||||
174,000 | HCA INC 6.25% 2/15/13 |
177,480 | ||||||
8,000 | HCA INC 6.3% 10/01/12 |
8,180 | ||||||
28,000 | HCA INC 9.125% 11/15/14 |
29,330 | ||||||
216,000 | HCA INC 9.25% 11/15/16 |
231,120 | ||||||
39,000 | HCA INC 9.625% 11/15/16 |
41,925 | ||||||
560,000 | HESS CORP 8.125% 2/15/19 |
707,487 | ||||||
700,000 | HSBC FIN CO 6.676% 1/21 144A |
707,197 | ||||||
160,000 | ICICI BK 6.375% VAR 4/22 REGS |
152,491 | ||||||
244,000 | ICICI BK LTD 6.375/VAR4/22 144 |
244,625 | ||||||
100,000 | ILFC ECAP TR II 6.25% 12/65 144 |
76,000 | ||||||
170,000 | ILFC MTN 6.5% 9/1/14 144A |
178,075 | ||||||
860,000 | ILFC MTN 6.75% 9/1/16 144A |
900,850 |
47
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
(183,951 | ) | INDEX SWAP IMO LIBOR SWAP |
$ | (183,956 | ) | |||
(1,011,728 | ) | INDEX SWAP IMO LIBOR SWAP |
(1,011,760 | ) | ||||
1,011,728 | INDEX SWAP IMO LIBOR SWAP |
1,012,599 | ||||||
183,951 | INDEX SWAP IMO LIBOR SWAP |
184,109 | ||||||
(500,000 | ) | INDEX SWAP TRXCMBS |
(500,000 | ) | ||||
500,000 | INDEX SWAP TRXCMBS |
516,485 | ||||||
21,000 | INN OF MOUNT 12% 11/15/10 |
10,946 | ||||||
(1,476,000 | ) | INT RATE
SWAP 2/15/25 |
(841,184 | ) | ||||
1,476,000 | INT RATE
SWAP 2/15/25 |
767,804 | ||||||
(1,410,000 | ) | INT RATE
SWAP 2/15/25 |
(803,570 | ) | ||||
1,410,000 | INT RATE
SWAP 2/15/25 |
729,692 | ||||||
(550,000 | ) | INT RATE SWAP PAY 2/15/25 |
(313,449 | ) | ||||
550,000 | INT RATE SWAP PAY 2/15/25 |
283,457 | ||||||
210,000 | INTELSAT J H 7.25% 10/20 144A |
212,100 | ||||||
90,000 | INTELSAT JACKSN 8.5% 11/19 144A |
96,750 | ||||||
21,000 | INTELSAT JACKSON 9.5% 6/15/16 |
22,155 | ||||||
290,000 | INTESA SAN SPA 3.625 8/15 144A |
280,354 | ||||||
2,780,000 | INTL BK R&D 0% 4/19/11 |
2,779,099 | ||||||
861,000 | JP MORGAN CHASE 5.125% 9/15/14 |
916,165 | ||||||
320,000 | JP MORGAN CHASE 6.125% 6/27/17 |
351,083 | ||||||
(1,500,000 | ) | JPM INT RATE SWAP PAY FWD |
(1,541,736 | ) | ||||
1,500,000 | JPM INT RATE SWAP PAY FWD |
1,500,032 | ||||||
220,000 | JPMC CO 4.25% 10/15/20 |
214,863 | ||||||
502,000 | JPMORGAN CHASE 5.15% 10/01/15 |
530,925 | ||||||
94,000 | KANSAS CTY SOUT 12.5% 4/1/16 |
115,150 | ||||||
120,000 | KAUPTHING BK 5.75% 10/4/11 144A |
32,100 | ||||||
130,000 | KAUPTHING MTN 7.125% 5/19 144A |
| ||||||
664,000 | KERR-MCGEE
CORP 7.875% 9/15/31 |
761,172 | ||||||
320,000 | KERR-MCGEE GLBL 6.95 7/1/24 |
347,834 | ||||||
1,100,000 | KFW 3.5% 3/10/14 |
1,170,360 | ||||||
1,700,000 | KFW GLB 4.625 1/20/11 |
1,702,604 | ||||||
230,000 | KINDER MORGAN 6.75% 3/15/11 |
232,553 | ||||||
63,000 | KINDER MORGAN EN 5.85 9/15/12 |
67,552 | ||||||
204,000 | KINDER MORGAN ENER 6% 2/1/17 |
225,227 | ||||||
362,000 | KPN NV GLBL 8.375% 10/01/30 |
470,620 | ||||||
620,000 | KRAFT FOODS INC 5.375% 2/10/20 |
667,287 | ||||||
100,000 | L-3 COMM 6.375% 10/15/15 |
103,000 | ||||||
641,000 | LANDSBANK IS MTN6.1% 8/11 144A |
70,510 |
48
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
369,000 | LEH 5.857% PERP-12 |
$ | 37 | |||||
220,000 | LEHMAN BROS 3ML+78 8/19/65 |
22 | ||||||
390,000 | LEHMAN BROS HLD 6.75% 12/28/17 |
39 | ||||||
400,000 | LLOYDS TSB 4.375% 1/12/15 144A |
396,010 | ||||||
100,000 | LLOYDS TSB BK 6.5% 9/14/20 144A |
92,003 | ||||||
190,000 | MEDTRONIC INC MTN 4.45% 3/15/20 |
197,253 | ||||||
280,000 | METLIFE INC 6.75% 6/1/16 |
323,544 | ||||||
801,000 | METLIFE INC GLB 6.4% 12/15/36 |
752,940 | ||||||
5,000 | MGM MIRAGE 10.375% 5/15/14 |
5,613 | ||||||
35,000 | MGM MIRAGE INC 6.625% 7/15/15 |
31,675 | ||||||
50,000 | MGM MIRAGE INC 7.625% 1/15/17 |
45,750 | ||||||
20,000 | MGM RESORTS 11.125% 11/15/17 |
22,900 | ||||||
400,000 | MORGAN STANLEY 5.5% 7/24/20 |
404,110 | ||||||
110,000 | MORGAN STLY FRN 5.82% 10/18/16 |
101,594 | ||||||
409,000 | MORGAN STLY MTN 5.625% 1/09/12 |
427,055 | ||||||
190,000 | MUFG CAP FIN 6.346/VR PERP DT |
191,461 | ||||||
40,000 | NATL SEMICOND GLB 6.6% 6/15/17 |
44,190 | ||||||
400,000 | NB CAP TR IV 8.25% 4/15/27 |
405,000 | ||||||
21,000 | NEWS AMER INC 6.65% 11/37 |
23,259 | ||||||
42,000 | NEWS AMERICA INC 6.2% 12/15/34 |
44,099 | ||||||
330,000 | NOBLE ENERGY IN 8.25% 3/01/19 |
412,364 | ||||||
430,000 | NORDEA BK MTN 3.7% 11/14 144A |
443,229 | ||||||
500,000 | NORTHSTR ED FIN 2007-1 OT |
394,058 | ||||||
15,000 | NRG ENERGY INC 7.375% 1/15/17 |
15,450 | ||||||
50,000 | NRG ENERGY INC 7.375% 2/1/16 |
51,000 | ||||||
592,000 | OCCIDENTAL PETE 7% 11/01/13 |
685,221 | ||||||
1,875,000 | PA HI ED SLR SR SUBER MM-1 OT |
1,659,481 | ||||||
105,000 | PACIFIC GAS&ELEC 5.8% 3/1/37 |
111,281 | ||||||
200,000 | PEABODY ENERGY 6.5% 9/15/20 |
213,500 | ||||||
95,000 | PEMEX PRO FDG 6.625% 6/15/35 |
95,475 | ||||||
75,000 | PEPSICO INC 7.9% 11/01/18 |
96,496 | ||||||
152,000 | PETROBRAS INTL 5.75% 1/20/20 |
157,710 | ||||||
190,000 | PETROBRAS INTL 6.125% 10/06/16 |
209,005 | ||||||
210,000 | PETROLEOS MEX 5.5% 1/21/21 |
213,150 | ||||||
470,000 | PFIZER 6.2% 3/15/19 |
552,828 | ||||||
194,000 | PG&E 6.05% 3/01/34 |
212,410 | ||||||
105,000 | PG&E 8.25% 10/15/18 |
136,422 |
49
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
20,000 | POTASH CORP 4.875% 3/30/20 |
$ | 20,894 | |||||
210,000 | QEP RESOURCES 6.875% 3/01/21 |
220,500 | ||||||
73,000 | QWEST COMM 7.5% 2/15/14 |
73,913 | ||||||
295,000 | RABOBANK MTN
11%/VAR PERP 144A |
381,288 | ||||||
208,000 | RAILAMERICA 9.25% 7/01/17 |
228,540 | ||||||
150,000 | RAYTHEON 3.125% 10/15/20 |
138,313 | ||||||
590,000 | RBS 3.95% 9/21/15 |
579,989 | ||||||
200,000 | RBS 4.875% 3/16/15 |
204,585 | ||||||
290,000 | REED ELSEVIER C 8.625% 1/15/19 |
368,704 | ||||||
300,000 | RESONA PFD
7.191% VR PERP 144AEC |
297,753 | ||||||
120,000 | REYNOLDS AMER GLB 7.25% 6/1/12 |
128,321 | ||||||
153,000 | REYNOLDS AMERN 6.75% 6/15/17 |
171,011 | ||||||
285,000 | REYNOLDS GRP 7.75% 10/15/16 144 |
301,388 | ||||||
450,000 | RIO TINTO FIN 3.5% 11/02/20 |
427,171 | ||||||
467,000 | RIO TINTO FIN 6.5% 7/15/18 |
544,450 | ||||||
470,000 | RIO TINTO FIN 9% 5/1/19 |
631,232 | ||||||
270,000 | ROCHE HLDGS INC 6% 3/19 144A DT |
313,967 | ||||||
63,000 | ROGERS CABLE 6.75% 3/15/15 |
73,130 | ||||||
30,000 | ROGERS COMMUNIC 6.8% 8/15/18 |
36,068 | ||||||
100,000 | ROYAL BK SCOT 7.64% VR PERP |
66,500 | ||||||
390,000 | ROYAL BK SCOTLAND 5% 10/1/14 |
375,171 | ||||||
20,000 | ROYAL BK SCT YANK 6.375% 2/1/11 |
20,065 | ||||||
520,000 | ROYAL BK SCTLND 6.4% 10/21/19 |
518,825 | ||||||
80,000 | ROYAL BK SCTLND GLB 5% 11/12/13 |
78,592 | ||||||
110,000 | ROYAL BK SCTLND GLB 5.05% 1/8/15 |
105,830 | ||||||
165,000 | SANDRIDGE ENRGY 9.875% 5/16144 |
174,488 | ||||||
300,000 | SANTANDER 5.805% VAR 6/20/16 |
290,852 | ||||||
100,000 | SANTANDER MTN 3.724% 1/15 144A |
94,746 | ||||||
200,000 | SANTANDER MTN 3.781% 10/15 144A |
187,917 | ||||||
279,000 | SBC COMM GLBL 5.1% 9/15/14 |
305,253 | ||||||
120,000 | SEARS HLDGS 6.625% 10/18 144A |
112,500 | ||||||
42,000 | SERVICE CO INT 7.625% 10/01/18 |
44,100 | ||||||
84,000 | SERVICE CO INTL 7.5% 4/1/27 |
80,430 | ||||||
100,000 | SHELL INTL FIN 4.375% 3/20 |
104,886 | ||||||
310,000 | SHELL INTL FIN 6.375% 12/15/38 |
367,421 | ||||||
240,000 | SLM CORP MEDIUM FRN 4/01/14 |
216,211 | ||||||
14,000 | SLM CORP MTN 5% 4/15/15 |
13,487 |
50
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
84,000 | SLM CORP MTN 5.05% 11/14/14 |
$ | 80,277 | |||||
519,000 | SLM CORP MTN 5.375% 5/15/14 |
521,558 | ||||||
66,000 | SLM CORP MTN 5.625% 8/01/33 |
51,787 | ||||||
63,000 | SOUTHRN NAT GAS 5.9% 4/1/17 |
67,559 | ||||||
21,000 | SOUTHRN NAT GAS 8% 3/01/32 |
24,058 | ||||||
341,000 | SPRINT CAP
CORP 8.375% 3/15/12 |
360,608 | ||||||
63,000 | STATION CASINOS 6% 4/01/12 |
6 | ||||||
84,000 | STATION CASINOS INC 7.75% 8/16 |
8 | ||||||
101,000 | STEEL DYN INC 6.75% 4/15 |
102,768 | ||||||
31,000 | STEEL DYNAMICS 7.375% 11/1/12 |
32,705 | ||||||
60,000 | STEEL DYNAMICS 7.625% 3/20 144A |
63,900 | ||||||
430,000 | SUMITOMO BKG 3.15% 7/22/15 144A |
437,651 | ||||||
174,000 | SUNTRUST VIII 6.1%/VAR12/1/66 |
159,210 | ||||||
330,000 | TEACHERS INS 6.85% 12/16/39144 |
386,101 | ||||||
9,000 | TECK RESOURCES 10.25% 5/16 |
11,138 | ||||||
8,000 | TECK RESOURCES 9.75% 5/14 |
10,011 | ||||||
320,000 | TELECOM ITALI 5.25% 10/01/15 |
327,635 | ||||||
244,000 | TELECOM ITALI 6.999% 6/4/18 |
258,354 | ||||||
420,000 | TELEFONICA EMIS 5.134% 4/27/20 |
404,351 | ||||||
80,000 | TENET HEALTH 10% 5/01/18 |
94,000 | ||||||
40,000 | TENET HEALTH 9% 5/01/15 |
44,600 | ||||||
111,000 | TENET HEALTH 9.25% 2/01/15 |
118,770 | ||||||
49,000 | TENN GAS PIPELI 7.625% 4/01/37 |
54,550 | ||||||
100,000 | TNK BP FI MTN 6.625% 3/17 144A |
106,250 | ||||||
470,000 | TOTAL CAP MTN 4.45% 6/24/20 |
489,811 | ||||||
400,000 | TRANSOCEAN INC 5.25% 3/15/13 |
421,707 | ||||||
(395,000 | ) | TRX CMBSRESET3 10/6/10 SWP |
(395,000 | ) | ||||
395,000 | TRX CMBSRESET3 10/6/10 SWP |
408,023 | ||||||
(395,000 | ) | TRX CMBSRESET3 4/1/11 SWP |
(395,000 | ) | ||||
395,000 | TRX CMBSRESET3 4/1/11 SWP |
408,023 | ||||||
(350,000 | ) | TRX CMBSRESET9 4/1/11 SWP |
(350,000 | ) | ||||
350,000 | TRX CMBSRESET9 4/1/11 SWP |
361,539 | ||||||
300,000 | TXU CORP 5.55% 11/15/14 |
182,250 | ||||||
387,000 | TXU CORP 6.55% 11/15/34 |
137,385 | ||||||
14,517 | TXU ENRGY PIK 12.00% 11/17 |
8,560 | ||||||
949,000 | TYCO INTL
GRP 6% 11/15/13 |
1,052,762 | ||||||
340,000 | UBS AG STAM 3.875% 1/15/15 |
350,411 |
51
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic Obligations (continued) |
||||||||
170,000 | UBS AG STAM MTN 4.875% 8/04/20 |
$ | 172,948 | |||||
200,000 | UNITED BUSNS 5.75% 11/20 144A |
192,012 | ||||||
370,000 | UNITEDHEALTH
GRP 6% 2/15/18 |
420,004 | ||||||
376,000 | VALE OVERSEAS 6.875% 11/21/36 |
413,593 | ||||||
272,000 | VEDANTA RES 8.75% 1/15/14 144A |
290,194 | ||||||
14,000 | VERIZON COM INC 5.5% 2/15/18 |
15,385 | ||||||
202,000 | VERIZON GLBL 7.375% 9/01/12 |
223,024 | ||||||
376,000 | VERIZON NEW YOR 6.875% 4/01/12 |
401,098 | ||||||
370,000 | VERIZON WIRELESS 8.5% 11/15/18 |
484,164 | ||||||
1,017,000 | WACHOVIA 5.25% 8/14 LT2 |
1,084,624 | ||||||
488,000 | WASTE MANAGMENT 6.375% 11/15/12 |
532,181 | ||||||
242,000 | WB 5.8% 49-11 T1 |
209,935 | ||||||
510,000 | WELLPOINT INC 7% 2/15/19 |
600,339 | ||||||
28,000 | WELLPOINT
INC GLB 5.875% 6/15/17 |
31,298 | ||||||
676,000 | WELLS FARGO 9.75% 3ML+583 PERP |
752,050 | ||||||
230,000 | WELLS FARGO
CAP 5.95% 12/15/36 |
222,011 | ||||||
24,000 | WESTLAKE CHEM 6.625% 1/15/16 |
24,810 | ||||||
170,000 | WILLIAMS COS 7.75% 6/15/31 |
191,737 | ||||||
160,000 | WILLIAMS COS 7.875% 9/01/21 |
187,200 | ||||||
21,000 | WILLIAMS COS 8.75% 3/15/32 |
25,652 | ||||||
475,000 | WILLIAMS COS GLB 7.5% 1/15/31 |
533,450 | ||||||
115,000 | WINDSTREAM 8.625% 8/01/16 |
121,038 | ||||||
320,000 | WPP FIN UK GTD SR NT 8% 9/15/14 |
368,143 | ||||||
334,000 | WYETH 5.95% 4/01/37 |
369,613 | ||||||
Total Domestic Obligations |
$ | 96,343,938 | ||||||
Mortgage Related Securities |
||||||||
222,998 | ACCR 2003-3 A1 4.46% 12/33 |
$ | 175,297 | |||||
635,361 | ACE 2006-SL3 A1 1ML+10 6/36 |
104,364 | ||||||
300,000 | ACR10ARTA A2FX 4.9543% 1/29 14A |
302,009 | ||||||
220,000 | AESOP 2010-3A A 4.64% 5/16 |
231,738 | ||||||
130,000 | AESOP 2010-5A A 3.15% 3/17 144A |
126,956 | ||||||
691,234 | AHM 2005-4 1A1 1ML+29 3/35 |
463,615 | ||||||
800,000 | BACM 2005-5 A4 5.115% 10/45 |
857,303 | ||||||
1,609,000 | BACM 2005-6 A4 5.182% 9/47 |
1,728,160 | ||||||
40,000 | BACM 2007-5 A3 5.62% 2/51 |
42,068 | ||||||
587,107 | BALTA 2004-9 3A1 CSTR 9/34 |
486,195 |
52
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Mortgage Related Securities (continued) |
||||||||
496,872 | BALTA 2005-2 2A4 CSTR 4/35 |
$ | 393,843 | |||||
338,037 | BAYV 2004-C A1 1ML+42 5/44 |
308,328 | ||||||
1,166,846 | BFAT 2007-SR1A M2 1ML+90 3/37 |
653,486 | ||||||
395,894 | BSABS 05-SD4 2A1 1ML+40 2/35 |
358,011 | ||||||
1,194,577 | BSABS 2005-AQ2 A3 1ML+36 9/35 |
1,074,266 | ||||||
584,457 | BSABS 2005-CL1 A1 1ML+50 9/34 |
465,652 | ||||||
762,162 | BSARM 2004-10 12A3 CSTR 1/35 |
687,824 | ||||||
530,000 | BSCMS 2007-PW15 A4 5.331 2/44 |
544,200 | ||||||
248,300 | CMLTI 2005-HE2 A 1ML+40 5/35 |
224,562 | ||||||
1,571,497 | CWALT 05-36 2A1A 1ML+31 8/35 |
834,707 | ||||||
968,732 | CWALT 06-OA6 1A1A 1ML+21 6/46 |
540,031 | ||||||
770,865 | CWALT 2005-36 3A1 CSTR 8/35 |
528,525 | ||||||
231,955 | CWALT 2005-61 1A1 1ML+26 12/35 |
173,340 | ||||||
125,086 | CWALT 2006-OA1 2A1 1ML+21 3/46 |
71,759 | ||||||
1,122,773 | CWHEL 07-GW A FSA 1ML+55 8/37 |
896,484 | ||||||
177,821 | CWHL 2004-23 A CSTR 11/34 |
118,403 | ||||||
534,435 | CWHL 2006-HYB3 2A1A CSTR 6/36 |
401,155 | ||||||
169,825 | DELTA AIR 6.821% 8/22 |
182,562 | ||||||
240,788 | DMSI 2004-4 7AR2 1ML+45 6/34 |
202,958 | ||||||
150,000 | EFCT 2004-1 A5 VAR 6/43 |
139,591 | ||||||
199,680 | ESA 10-ESHA A 2.9505 11/27 144 |
196,419 | ||||||
371,484 | FFML 2004-FF3 M1 1ML+55 5/34 |
319,706 | ||||||
98,592 | FHAMS 2006-FA8 1A8 0 2/37 |
50,864 | ||||||
90,000 | FIRST SEC UT 9.35 1/10/23 144A |
92,749 | ||||||
770,000 | GCCFC 07-GG11 A4 5.736% 12/49 |
813,620 | ||||||
260,000 | GECMC 2007-C1 A4 5.54% 12/49 |
267,697 | ||||||
1,004,227 | GMACM 04VF1 A1 MBIA1ML+75 2/31 |
780,763 | ||||||
750,323 | GSMPS 2005-RP1 1AF 1ML+35 1/35 |
637,206 | ||||||
300,000 | GSMS 2007-GG10 A4 CSTR 8/45 |
313,624 | ||||||
291,188 | GSR 2005-AR5 2A3 CSTR 10/35 |
231,331 | ||||||
368,916 | HVMLT 05-15 2A11 1ML+27 10/45 |
233,226 | ||||||
1,314,421 | HVMLT 2004-5 2A6 CSTR 6/34 |
1,101,701 | ||||||
565,769 | HVMLT 2006-13 A 1ML+18 11/46 |
304,114 | ||||||
615,470 | IMSA 2005-2 A1 1ML+32 3/36 |
331,740 | ||||||
205,659 | IMSA 2006-1 1A2B 1ML+20 5/36 |
90,131 | ||||||
604,385 | INDA 2007-AR7 1A1 CSTR 11/37 |
489,282 | ||||||
1,317,943 | INDX 05-AR14 2A1A 1ML+30 7/35 |
879,371 |
53
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Mortgage Related Securities (continued) |
||||||||
192,301 | INDX 2006-AR6 2A1A 1ML+20 6/47 |
$ | 103,434 | |||||
1,100,000 | ISAC 2010-1 A3 3ML+90 7/45 |
1,044,626 | ||||||
510,000 | JPMCC 2007-LD12 A4 CSTR 2/51 |
539,965 | ||||||
400,000 | JPMMT 2004-A3 3A3 CSTR 7/34 |
407,546 | ||||||
385,433 | KSLT 2003-A 1A2 3ML+26 10/25 |
375,229 | ||||||
280,000 | LBUBS 2007-C6 A4 CSTR 7/40 |
294,188 | ||||||
380,000 | LBUBS 2007-C7 A3 5.886% 9/45 |
399,846 | ||||||
1,079,540 | LXS 06-14N 1A1B 1ML+21 9/46 |
547,091 | ||||||
383,816 | MARM 2005-1 7A1 CSTR 2/35 |
328,228 | ||||||
430,035 | MARM 2006-2 3A1 CSTR 1/36 |
375,460 | ||||||
904,431 | MARP 2005-2 1A1F 1ML+35 5/35 |
738,294 | ||||||
346,835 | MLCC 2003-F A1 1ML+32 10/28 |
319,437 | ||||||
130,000 | MLCFC 2007-5 A4 5.378 8/48 |
132,752 | ||||||
1,020,000 | MLCFC 2007-6 A4 CSTR 3/51 |
1,039,971 | ||||||
20,000 | MLCFC 2007-8 A3 CSTR 8/49 |
21,525 | ||||||
322,426 | MLMI 2004-A3 4A3 CSTR 5/34 |
325,802 | ||||||
158,496 | MLMI 2006-A1 1A1 CSTR 3/36 |
96,722 | ||||||
1,184,296 | MLMI 2007-SD1 A1 1ML+45 2/47 |
695,840 | ||||||
655,000 | MLMT 2006-C1 A4 CSTR 5/39 |
705,931 | ||||||
110,000 | MLMT 2007-C1 A4 CSTR 6/50 |
117,147 | ||||||
80,000 | MSC 2007-HQ13 A3 5.569% 12/44 |
82,140 | ||||||
320,000 | MSC 2007-IQ15 A4 6.078% 6/49 |
342,649 | ||||||
29,570 | MSM 2005-3AR 3A CSTR 7/35 |
21,254 | ||||||
378,918 | NGN 2010-C1 A 2.65% 10/20 |
368,961 | ||||||
40,000 | NGN 2010-C1 A2 2.9% 10/20 |
38,891 | ||||||
500,000 | NSLC 2004-2A A5C 1.09% 2/39 |
452,492 | ||||||
362,000 | NSLT 2008-4 A4 1ML+148 4/24 |
373,870 | ||||||
293,877 | PRIME 2005-2 2A1 CSTR 10/32 |
291,312 | ||||||
842,416 | RALI 2005-QA13 2A1 CSTR 12/35 |
500,328 | ||||||
535,094 | RBSGC 2007-B 1A4 1ML+45 1/37 |
319,628 | ||||||
457,219 | SACO 2005-WM3 A3 1ML+35 9/35 |
203,042 | ||||||
723,157 | SAMI 2006-AR6 1A1 1ML+18 07/46 |
437,636 | ||||||
1,364,245 | SASC 2007-TC1 A 1ML+30 4/31 |
1,043,291 | ||||||
103,686 | SAST 2002-3 M1 1ML+75 12/32 |
84,423 | ||||||
314,970 | SAST 2003-3 M1 1ML+65 12/33 |
251,077 | ||||||
300,000 | SLMA 2003-11 A6 3ML+29 12/25 |
287,587 | ||||||
171,311 | UAL PASS THRU ETC 9.75% 1/17 |
197,435 |
54
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Mortgage Related Securities (continued) |
||||||||
818,302 | WAMU 05-AR15 A1A1 1ML+26 11/45 |
$ | 698,254 | |||||
673,916 | WAMU 05-AR15 A1A2 1ML+28 11/45 |
513,704 | ||||||
347,412 | WAMU 05-AR17 A1A2 1ML+29 12/45 |
263,998 | ||||||
1,200,000 | WAMU 06-AR14 1A3 CSTR 11/36 |
888,062 | ||||||
353,569 | WAMU 2004-AR8 A1 1ML+42 6/44 |
263,655 | ||||||
2,000,000 | WAMU 2005-AR18 1A3A CSTR 1/36 |
1,596,955 | ||||||
833,340 | WAMU 2005-AR7 A4 CSTR 8/35 |
737,478 | ||||||
132,738 | WAMU 2005-AR8 1A1A 1ML+27 7/45 |
112,125 | ||||||
396,043 | WAMU 2005-AR9 A1A 1ML+32 7/45 |
335,939 | ||||||
600,405 | WAMU 2007-HY4 4A1 CSTR 9/36 |
478,971 | ||||||
1,110,000 | WFMBS 2006-AR11 A6 CSTR 8/36 |
990,488 | ||||||
Total Mortgage Related Securities |
$ | 41,235,615 | ||||||
Other Agency Obligations |
||||||||
240,000 | TVA 5.25% 9/15/39 |
$ | 253,732 | |||||
467,000 | TVA 5.98% 4/1/36 |
539,779 | ||||||
250,000 | CA ST 7.3% 10/01/39 |
251,775 | ||||||
200,000 | KY HIGHER ED VAR 05/01/34 |
196,300 | ||||||
190,000 | LA CA DWAP TAXM 6.574% 7/01/45 |
193,781 | ||||||
150,000 | MUNICIPAL EC AT GA 4.375% 4/57 |
146,625 | ||||||
80,000 | GA MEAG 6.655% 4/1/57 |
77,378 | ||||||
490,000 | NORTH TX STUD 3ML+90 07/01/30 |
474,011 | ||||||
Total Other Agency Obligations |
$ | 2,133,381 | ||||||
Total Other Fixed Income Securities |
$ | 141,827,092 | ||||||
Cash, Cash Equivalents and Other Investments |
||||||||
Cash |
$ | (8,156,386 | ) | |||||
1,400,000 | SWAP CASH COLLATERAL |
1,400,000 | ||||||
14,628,791 | State Street Bank Government Short Term Investment Fund* |
14,628,791 | ||||||
70,039,256 | State Street Bank Short Term Investment Fund* |
70,039,256 | ||||||
14,864,496 | Fidelity Institutional Money Market Portfolio* |
14,864,496 | ||||||
(40 | ) | US 10YR FUT FEB11 PUT 1/21/11 117 |
(5,000 | ) | ||||
(18 | ) | US 10YR FUT FEB11 CALL 1/21/11 122 |
(6,469 | ) | ||||
(20 | ) | US 10YR FUT FEB11 CALL 1/21/11 121 |
(14,063 | ) | ||||
(30 | ) | EURO$ 2Y MIDCV CALL 98.5 3/11/11 |
(3,375 | ) | ||||
30 | EURO$ 2Y MIDCV CALL 98 3/11/11 |
(7,875 | ) |
55
Shares or | ||||||||
Units | Description | Current Value | ||||||
Cash, Cash Equivalents and Other Investments (continued) |
||||||||
(14 | ) | EURO$ 2Y MIDCV MAR11 PUT 3/11/11 97.875 |
$ | (8,400 | ) | |||
(111 | ) | EURO$ 90 DAY FUT MAR 11 EDH1 |
(19,425 | ) | ||||
(111 | ) | EURO$ 90 DAY EDH1 PUT 3/14/11 |
(16,650 | ) | ||||
(71 | ) | UST LONG BOND FUT MAR11 USH1 |
(79,875 | ) | ||||
(205 | ) | UST 5YR FUT MAR11 FVH1 |
(64,063 | ) | ||||
(54 | ) | UST 2YR FUT MAR11 TUH1 |
(14,344 | ) | ||||
132 | UST 10YR FUT MAR11 TYH1 |
59,813 | ||||||
97 | US ULTRA BOND(CBT) MAR11 WNH1 |
169,750 | ||||||
(29 | ) | EURO BUND FUTURE MAR11 RXH1 |
- | |||||
Total Cash, Cash Equivalents and Other Investments |
$ | 92,766,181 | ||||||
Total Investments Excluding Loans to Participants |
$ | 3,601,918,222 | ||||||
Notes Receivable From Participants (interest rate from 4.25%
to 10.50% maturing through September 2027)* |
57,388,610 | |||||||
Total Investments |
$ | 3,659,306,832 | ||||||
56
TIME WARNER SAVINGS PLAN |
||||
Date: June 24, 2011 | By: | /s/ Allan Cohen | ||
Name: | Allan Cohen | |||
Member of the Administrative Committee |
Exhibit | ||
Number | Description | |
23.1
|
Consent of Ernst & Young LLP, Independent Registered Public Accounting Firm |