Page(s)
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Report of Independent Registered Public Accounting Firm
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1 |
Financial Statements
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Statements of Net Assets Available for Benefits
May 31, 2011 and 2010
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2 |
Statement of Changes in Net Assets Available for Benefits
Year Ended May 31, 2011
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3 |
Notes to Financial Statements
May 31, 2011 and 2010
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4-16 |
Supplemental Schedules
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Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
May 31, 2011
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17-38 |
Schedule H, Line 4i - Schedule of Assets (Acquired an Disposed of Within Year)
Year Ended May 31, 2011
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39-51 |
Note: Other schedules required by 29 CFR Section 2520.103-10 of the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Action of 1974 have been omitted because they are not applicable.
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2011
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2010
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|||||||
Assets
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||||||||
Investments, at fair value
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||||||||
Collective trust funds
|
$ | 1,158,430,251 | $ | 812,077,347 | ||||
NIKE, Inc. Class B common stock
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441,550,034 | 366,202,050 | ||||||
Registered investment companies
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77,231,534 | 120,629,547 | ||||||
Corporate and foreign bonds
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34,410,762 | 26,407,895 | ||||||
Interest bearing cash
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10,661 | 53,484 | ||||||
Common and foreign stocks
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1,440 | 18,837,282 | ||||||
Foreign preferred stocks
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- | 234,286 | ||||||
Total investments
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1,711,634,682 | 1,344,441,891 | ||||||
Receivables
|
||||||||
Employer contributions
|
40,431,957 | 35,979,389 | ||||||
Notes receivable from participants
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22,606,115 | 22,205,269 | ||||||
Participant contributions
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1,648,075 | 1,447,706 | ||||||
Accrued interest and dividends
|
810,639 | 900,346 | ||||||
Due from broker for securities sold
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512,849 | 698,787 | ||||||
Total receivables
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66,009,635 | 61,231,497 | ||||||
Cash
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161,055 | 238,820 | ||||||
Total assets
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1,777,805,372 | 1,405,912,208 | ||||||
Liabilities
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||||||||
Due to broker for securities purchased
|
924,621 | 344,607 | ||||||
Accrued expenses
|
127,521 | 135,255 | ||||||
Total liabilities
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1,052,142 | 479,862 | ||||||
Net assets available for benefits at fair value
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1,776,753,230 | 1,405,432,346 | ||||||
Adjustment from fair value to contract
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||||||||
value for interest in collective trust relating to fully
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||||||||
benefit-responsive investment contracts
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(509,521 | ) | (1,721,632 | ) | ||||
Net assets available for benefits
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$ | 1,776,243,709 | $ | 1,403,710,714 |
Additions
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||||
Investment income
|
||||
Net appreciation in fair value of investments
|
$ 279,464,015
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|||
Interest and dividends
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9,246,041
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|||
Total investment income |
288,710,056
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|||
Less investment expenses
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(437,839)
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|||
Net investment income |
288,272,217
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|||
Interest income on notes receivable from participants
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1,091,890
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|||
Contributions
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||||
Employer, net of forfeitures
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75,661,752
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|||
Participant
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58,947,035
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|||
Rollover
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3,371,676
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|||
Total contributions |
137,980,463
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|||
Total additions |
427,344,570
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|||
Deductions
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||||
Benefits paid to participants
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(53,600,288)
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|||
Administrative expenses
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(1,211,287)
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|||
Total deductions |
(54,811,575)
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|||
Net increase |
372,532,995
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|||
Net assets available for benefits
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||||
Beginning of year
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1,403,710,714
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|||
End of year
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$ 1,776,243,709
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Participant Directed
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||||
NIKE, Inc. Class B Common Stock
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$ | 441,550,034 | ||
Collective trust funds
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||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund
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236,689,807 | |||
Northern Trust Bank NA Collective Daily All Country World Exchange Fund
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161,526,571 | |||
Northern Trust Global Investments Collective Daily Russell 2000 Index Fund
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143,241,224 | |||
Northern Trust Global Investments Collective Daily Aggregate Bond Index Fund
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119,539,339 | |||
Schwab Stable Value Fund
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101,758,071 | |||
Nonparticipant Directed
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||||
Collective trust funds
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||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund
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117,000,195 |
Participant Directed
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||||
Collective trust funds
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||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund
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171,349,075 | |||
Northern Trust Bank NA Collective Daily All Country World Exchange Fund
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116,414,073 | |||
Northern Trust Global Investments Collective Daily Russell 2000 Index Fund
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102,926,009 | |||
Northern Trust Global Investments Collective Daily Aggregate Bond Index Fund
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102,891,608 | |||
US Bank Morley Institutional Investors Stable Asset Fund
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98,373,232 | |||
Nonparticipant Directed
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||||
NIKE, Inc. Class B Common Stock
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366,202,050 | |||
Collective trust funds
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||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund
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86,938,923 |
Collective trust funds
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$ | 188,051,660 | ||
NIKE, Inc. Class B common stock
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63,314,724 | |||
Registered investment companies
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25,121,165 | |||
Corporate bonds
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2,493,843 | |||
Preferred and common stocks
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482,623 | |||
$ | 279,464,015 |
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Level 1
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Inputs to the valuation methodology are unadjusted quoted prices for identical assets or liabilities in active markets that the Plan has the ability to access.
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Level 2
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Inputs to the valuation methodology include:
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Level 3
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Inputs to the valuation methodology are unobservable and significant to the fair value measurement.
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Assets at Fair Value at May 31, 2011
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||||||||||||||||
Level 1
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Level 2
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Level 3
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Total
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|||||||||||||
Collective trust funds
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||||||||||||||||
Equity index funds
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$ | - | $ | 541,457,600 | $ | - | $ | 541,457,600 | ||||||||
Common stock funds
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- | 265,058,142 | - | 265,058,142 | ||||||||||||
Other fixed income funds
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- | 217,731,383 | - | 217,731,383 | ||||||||||||
Real estate funds
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- | 28,487,838 | - | 28,487,838 | ||||||||||||
Stable value funds
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- | 101,758,071 | - | 101,758,071 | ||||||||||||
Other short term investment funds
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- | 3,937,217 | - | 3,937,217 | ||||||||||||
Total collective trust funds
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- | 1,158,430,251 | - | 1,158,430,251 | ||||||||||||
Common and foreign stocks
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||||||||||||||||
Consumer discretionary
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441,550,034 | - | - | 441,550,034 | ||||||||||||
Information technology
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1,440 | - | - | 1,440 | ||||||||||||
Total common and foreign stocks
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441,551,474 | - | - | 441,551,474 | ||||||||||||
Registered investment companies
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||||||||||||||||
Commodity funds
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36,603,288 | - | - | 36,603,288 | ||||||||||||
Equity funds
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29,794,322 | - | - | 29,794,322 | ||||||||||||
Bond funds
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6,855,612 | - | - | 6,855,612 | ||||||||||||
Short term funds
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3,391,407 | - | - | 3,391,407 | ||||||||||||
Real estate funds
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586,905 | - | - | 586,905 | ||||||||||||
Total registered investment companies
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77,231,534 | - | - | 77,231,534 | ||||||||||||
Corporate and foreign bonds
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- | 34,410,762 | - | 34,410,762 | ||||||||||||
Interest bearing cash
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10,661 | - | - | 10,661 | ||||||||||||
Total assets at fair value
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$ | 518,793,669 | $ | 1,192,841,013 | $ | - | $ | 1,711,634,682 |
Collective
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||||
Trust Funds
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||||
Balance at beginning of year
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$ | 100,094,864 | ||
Purchases, sales, issuances and
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||||
settlements, net
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(100,094,864 | ) | ||
Balance at end of year
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$ | - | ||
Assets at Fair Value as of May 31, 2010
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||||||||||||||||
Level 1
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Level 2
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Level 3
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Total
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Collective trust funds
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||||||||||||||||
Equity index funds
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$ | - | $ | 390,689,158 | $ | - | $ | 390,689,158 | ||||||||
Other fixed income funds
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- | 184,345,239 | - | 184,345,239 | ||||||||||||
Common stock funds
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- | 131,638,310 | - | 131,638,310 | ||||||||||||
Stable value funds
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- | - | 100,094,864 | 100,094,864 | ||||||||||||
Other short term investment funds
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- | 5,309,776 | - | 5,309,776 | ||||||||||||
Total collective trust funds
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- | 711,982,483 | 100,094,864 | 812,077,347 | ||||||||||||
Common and foreign stocks
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||||||||||||||||
Consumer discretionary
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368,519,239 | - | - | 368,519,239 | ||||||||||||
Telecommunication services
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3,352,782 | - | - | 3,352,782 | ||||||||||||
Financials
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2,998,887 | - | - | 2,998,887 | ||||||||||||
Information technology
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2,942,104 | - | - | 2,942,104 | ||||||||||||
Healthcare
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2,644,337 | - | - | 2,644,337 | ||||||||||||
Consumer staples
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1,988,268 | - | - | 1,988,268 | ||||||||||||
Energy
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1,001,569 | - | - | 1,001,569 | ||||||||||||
Materials
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676,863 | - | - | 676,863 | ||||||||||||
Industrials
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547,303 | - | - | 547,303 | ||||||||||||
Utilities
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367,980 | - | - | 367,980 | ||||||||||||
Total common and foreign stocks
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385,039,332 | - | - | 385,039,332 | ||||||||||||
Registered investment companies
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||||||||||||||||
Equity funds
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22,271,468 | 62,995,940 | - | 85,267,408 | ||||||||||||
Commodity funds
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27,151,996 | - | - | 27,151,996 | ||||||||||||
Bond funds
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4,356,140 | - | - | 4,356,140 | ||||||||||||
Short term funds
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3,426,862 | - | - | 3,426,862 | ||||||||||||
Real estate funds
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427,141 | - | - | 427,141 | ||||||||||||
Total registered investment companies
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57,633,607 | 62,995,940 | - | 120,629,547 | ||||||||||||
Corporate and foreign bonds
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- | 26,407,895 | - | 26,407,895 | ||||||||||||
Foreign preferred stocks
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||||||||||||||||
Telecommunication services
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155,701 | - | - | 155,701 | ||||||||||||
Financials
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78,585 | - | - | 78,585 | ||||||||||||
Total foreign preferred stocks
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234,286 | - | - | 234,286 | ||||||||||||
Interest bearing cash
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53,484 | - | - | 53,484 | ||||||||||||
Total assets at fair value
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$ | 442,960,709 | $ | 801,386,318 | $ | 100,094,864 | $ | 1,344,441,891 |
Collective
|
||||
Trust Funds
|
||||
Balance at beginning of year
|
$ | 126,783,978 | ||
Realized gains
|
12,244,948 | |||
Unrealized losses
|
(5,242,814 | ) | ||
Purchases, sales, issuances and
|
||||
settlements, net
|
(33,691,248 | ) | ||
Balance at end of year
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$ | 100,094,864 |
2011
|
2010
|
|||||||
Net Assets
|
||||||||
Collective trust funds
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$ | 395,270,739 | $ | 217,771,230 | ||||
Employer receivable
|
39,457,316 | 35,979,389 | ||||||
Registered investment companies
|
36,484,419 | 90,056,053 | ||||||
Corporate and foreign bonds
|
34,410,762 | 26,407,895 | ||||||
Accrued interest and dividends
|
807,393 | 886,206 | ||||||
Cash
|
36,116 | 231,610 | ||||||
Interest bearing cash
|
10,661 | 761 | ||||||
Common and foreign stocks
|
1,440 | 18,837,282 | ||||||
Foreign preferred stocks
|
- | 234,286 | ||||||
NIKE, Inc. Class B common stock
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- | 366,202,050 | ||||||
Due from broker for securities sold
|
- | 698,787 | ||||||
Due to broker for securities purchased
|
(509,141 | ) | (344,607 | ) | ||||
Accrued expenses
|
(60,374 | ) | (65,279 | ) | ||||
Total net assets
|
$ | 505,909,331 | $ | 756,895,663 |
Year Ended
|
||||
May 31, 2011
|
||||
Changes in net assets
|
||||
Net appreciation in fair value of investments
|
$ | 90,038,051 | ||
Employer contributions
|
40,085,592 | |||
Interest and dividends
|
2,734,099 | |||
Transfers to participant directed funds
|
(672,420 | ) | ||
Administrative and investment expenses
|
(724,902 | ) | ||
Benefits paid to participants
|
(15,002,757 | ) | ||
Transfer of NIKE, Inc. Class B common stock to participant directed funds
|
(367,443,995 | ) | ||
$ | (250,986,332 | ) |
2011
|
2010
|
|||||||
Net assets available for benefits per the
|
||||||||
financial statements
|
$ | 1,776,243,709 | $ | 1,403,710,714 | ||||
Benefits payable
|
(475,195 | ) | (571,603 | ) | ||||
Loans deemed to be distributions
|
||||||||
for financial reporting purposes
|
(543,706 | ) | (436,145 | ) | ||||
Adjustment from fair value to contract value for interest in
|
||||||||
collective trust relating to fully
|
||||||||
benefit-responsive investment contracts
|
509,521 | 1,721,632 | ||||||
Net assets available for benefits per Form 5500
|
$ | 1,775,734,329 | $ | 1,404,424,598 |
Net increase in net assets per the financial statements
|
$ | 372,532,995 | ||
Benefits payable at May 31, 2011
|
(475,195 | ) | ||
Benefits payable at May 31, 2010
|
571,603 | |||
Loans deemed to be distributions for financial reporting purposes at May 31, 2011
|
(543,706 | ) | ||
Loans deemed to be distributions for financial reporting purposes at May 31, 2010
|
436,145 | |||
Adjustment from fair value to contract value for interest in collective trust
|
||||
at May 31, 2011
|
509,521 | |||
Adjustment from fair value to contract value for interest in collective trust
|
||||
at May 31, 2010
|
(1,721,632 | ) | ||
Net increase in net assets per Form 5500
|
$ | 371,309,731 |
(c)
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(c)
|
||||||||||||||||||||||||
(b)
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Rate
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Date of
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(c)
|
(e)
|
|||||||||||||||||||||
Identity of Issuer, Borrower,
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(c)
|
of
|
Maturity
|
Par
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(d)
|
Current
|
|||||||||||||||||||
(a)
|
Lessor or Similar Party
|
Description of Investment
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Interest
|
Year
|
Month
|
Value
|
Cost (1)
|
Value
|
|||||||||||||||||
Participant Directed
|
|||||||||||||||||||||||||
1st Eagle Funds Inc
|
Registered investment company
|
$ | 5,142 | ||||||||||||||||||||||
1st Eagle Funds Overseas Fund
|
Registered investment company
|
133,215 | |||||||||||||||||||||||
1st Eagle Sogen Funds Global Fund
|
Registered investment company
|
215,416 | |||||||||||||||||||||||
1st Eagle Sogen Funds Gold Fund
|
Registered investment company
|
24,164 | |||||||||||||||||||||||
3rd Avenue Tr Intl Value Fund
|
Registered investment company
|
69,264 | |||||||||||||||||||||||
3rd Avenue Tr Real Estate Value Fund
|
Registered investment company
|
91,609 | |||||||||||||||||||||||
Aberdeen Emerging Markets Fund
|
Registered investment company
|
12,236 | |||||||||||||||||||||||
Aberdeen Intl Equity Fund
|
Registered investment company
|
59,806 | |||||||||||||||||||||||
Aberdeen Global Nat Res Fund
|
Registered investment company
|
15,553 | |||||||||||||||||||||||
Advantage Funds Dreyfus Global Absolute
|
Registered investment company
|
14,141 | |||||||||||||||||||||||
Advisors Inner Circle Fund Acadian Emerging Mkts Inst Fund
|
Registered investment company
|
53,940 | |||||||||||||||||||||||
Advisors Inner Circle Fund Cambiar Aggressive Value
|
Registered investment company
|
9,853 | |||||||||||||||||||||||
Advisors Inner Circle Fund Cambiar Small Cap
|
Registered investment company
|
17,341 | |||||||||||||||||||||||
Advisors Inner Circle Fund II Inc New Champlain Small Co Fund
|
Registered investment company
|
13,696 | |||||||||||||||||||||||
Advisors Inner Circle Fund II Frost Div Value Equity Fund
|
Registered investment company
|
12,768 | |||||||||||||||||||||||
Aim Sector Funds Invesco Van Kampen CL Y
|
Registered investment company
|
6,835 | |||||||||||||||||||||||
Aim Sector Funds Invesco Van Kampen Small Cap
|
Registered investment company
|
8,859 | |||||||||||||||||||||||
Alger Fund Cap Apprec CL A
|
Registered investment company
|
29,495 | |||||||||||||||||||||||
Alliance Bernstein Growth & Inc Fund
|
Registered investment company
|
13,552 | |||||||||||||||||||||||
Allianz Fds NFJ Dividend Value Fund
|
Registered investment company
|
54,081 | |||||||||||||||||||||||
Allianz Funds RCM Wellness Fund
|
Registered investment company
|
59,511 | |||||||||||||||||||||||
Allianz Funds AGIC Pac Rim Fund
|
Registered investment company
|
14,757 | |||||||||||||||||||||||
Alpine Equity Tr International Real Estate Equity Fund
|
Registered investment company
|
11,167 | |||||||||||||||||||||||
Alpine Ser Tr Dynamic Innovators Fund
|
Registered investment company
|
1,725 | |||||||||||||||||||||||
Amana Mutual Fund Tr Growth Fund
|
Registered investment company
|
146,506 | |||||||||||||||||||||||
Amana Mutual Fund Tr Income Fund
|
Registered investment company
|
54,072 | |||||||||||||||||||||||
American AMCAP Fund
|
Registered investment company
|
18,759 | |||||||||||||||||||||||
American Beacon Funds Large Cap Value Fund
|
Registered investment company
|
48,756 | |||||||||||||||||||||||
American Beacon Funds Small Cap Value Fund
|
Registered investment company
|
26,634 | |||||||||||||||||||||||
American Cap World Growth & Inc Fund
|
Registered investment company
|
3,839 | |||||||||||||||||||||||
American Century 20th Century Growth Fund
|
Registered investment company
|
224,666 | |||||||||||||||||||||||
American Century Cap Portfolios Inc Value Fund
|
Registered investment company
|
16,341 | |||||||||||||||||||||||
American Century Cap Portfolio Inc Equity Income Fund
|
Registered investment company
|
239,002 | |||||||||||||||||||||||
American Century Cap Portfolio Inc Mid Cap Value Fund
|
Registered investment company
|
52,448 | |||||||||||||||||||||||
American Century Cap Portfolio Inc Real Estate Fund
|
Registered investment company
|
4,742 | |||||||||||||||||||||||
American Century Govt Inc Tr Benham Adj Rate
|
Registered investment company
|
45,798 | |||||||||||||||||||||||
American Century Govt Inc Tr Benham
|
Registered investment company
|
131,482 | |||||||||||||||||||||||
American Century Govt Inc Tr Inflation-adjusted Bd Fund
|
Registered investment company
|
76,031 | |||||||||||||||||||||||
American Century Govt Inc Tr Ginnie Mae Fund
|
Registered investment company
|
4,117 | |||||||||||||||||||||||
American Century Intl Bond Fund
|
Registered investment company
|
14,440 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
American Century Mut Fund Inc Heritage Fund
|
Registered investment company
|
63,541 | ||||||||||||||||||
American Century Mutual Funds Inc Cap Value
|
Registered investment company
|
51,042 | ||||||||||||||||||
American Century Quantitative Equity Growth Fund
|
Registered investment company
|
110,466 | ||||||||||||||||||
American Century Quantitative Equity Utils Fund
|
Registered investment company
|
59,502 | ||||||||||||||||||
American Century World Mutual Fund Inc 20th Centy Intl Discovery Fund
|
Registered investment company
|
24,280 | ||||||||||||||||||
American Century World Mutual Fund Inc 20th Centy Intl Growth Fund
|
Registered investment company
|
94,843 | ||||||||||||||||||
American Independence Funds Tr Absolute Return
|
Registered investment company
|
14,637 | ||||||||||||||||||
Ariel Fund
|
Registered investment company
|
21,546 | ||||||||||||||||||
Ariel Growth Appreciation Fund
|
Registered investment company
|
63,329 | ||||||||||||||||||
Artio Global Invt Funds International Equity Fund
|
Registered investment company
|
53,361 | ||||||||||||||||||
Artio Global Invt Funds International Equity Fund II
|
Registered investment company
|
49,557 | ||||||||||||||||||
Artisan Funds Global Value
|
Registered investment company
|
329 | ||||||||||||||||||
Artisan Funds Inc International Value Fund
|
Registered investment company
|
6,731 | ||||||||||||||||||
Artisan Funds Inc International Fund
|
Registered investment company
|
239,763 | ||||||||||||||||||
Artisan Funds Inc International Small Cap Fund
|
Registered investment company
|
11,998 | ||||||||||||||||||
Artisan Funds Mid Cap Fund
|
Registered investment company
|
195,250 | ||||||||||||||||||
Artisan Funds Mid Cap Value Fund
|
Registered investment company
|
33,691 | ||||||||||||||||||
Aston Funds for future issues - Fairpointe Mid Cap Fund
|
Registered investment company
|
36,324 | ||||||||||||||||||
Aston Funds for future issues - Montag Caldwell Growth Fund
|
Registered investment company
|
12,347 | ||||||||||||||||||
Aston Funds for future issues - Veredus Aggressive Growth Fund
|
Registered investment company
|
24,483 | ||||||||||||||||||
Baron Ast Fund Growth Fund
|
Registered investment company
|
276,167 | ||||||||||||||||||
Baron Ast Fund Small Cap Fund
|
Registered investment company
|
115,344 | ||||||||||||||||||
Baron Invt Funds Tr Opportunity Fund
|
Registered investment company
|
2,656 | ||||||||||||||||||
Baron Partners Fund
|
Registered investment company
|
111,504 | ||||||||||||||||||
Blackrock Equity Dividend Fund
|
Registered investment company
|
32,280 | ||||||||||||||||||
Blackrock Funds II US Opportunities Portfolio
|
Registered investment company
|
36,041 | ||||||||||||||||||
Blackrock Funds Intl Opportunities Portfolio
|
Registered investment company
|
58,853 | ||||||||||||||||||
Blackrock Funds Intl Bond Portfolio
|
Registered investment company
|
11,268 | ||||||||||||||||||
Blackrock Global Allocation Fund
|
Registered investment company
|
56,575 | ||||||||||||||||||
Blackrock Global Emerging Markets-A
|
Registered investment company
|
32,822 | ||||||||||||||||||
Blackrock Nat Res Tr CL A
|
Registered investment company
|
3,870 | ||||||||||||||||||
Blair William Mutual Funds Small Cap Growth Fund
|
Registered investment company
|
48,396 | ||||||||||||||||||
Blair William Mutual Funds Small Mid-Cap Growth Fund
|
Registered investment company
|
15,256 | ||||||||||||||||||
Bny Mellon Funds Tr Small Cap Stk Fund
|
Registered investment company
|
1,296 | ||||||||||||||||||
Brandywine Fund Inc Com Open End
|
Registered investment company
|
1,404 | ||||||||||||||||||
Bridgeway Fund Aggressive Fund
|
Registered investment company
|
9,952 | ||||||||||||||||||
Brown Cap Mgmt Small Co Fund
|
Registered investment company
|
9,162 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Buffalo Hi Yield Fund
|
Registered investment company
|
5,632 | ||||||||||||||||||
Buffalo Funds Mid Cap Fund
|
Registered investment company
|
16,688 | ||||||||||||||||||
Buffalo Funds Science & Technology Fund
|
Registered investment company
|
28,331 | ||||||||||||||||||
Buffalo Small Cap Fund
|
Registered investment company
|
39,502 | ||||||||||||||||||
Calamos Invt Tr New Growth Fund
|
Registered investment company
|
48,708 | ||||||||||||||||||
Calamos Invt Tr New Intl Growth Fund
|
Registered investment company
|
16,877 | ||||||||||||||||||
CGM Focus Fund
|
Registered investment company
|
216,098 | ||||||||||||||||||
CGM Tr Realty Fund
|
Registered investment company
|
192,952 | ||||||||||||||||||
Clipper Fund
|
Registered investment company
|
26,199 | ||||||||||||||||||
Cohen & Steers Intl Rlty Shs Fund
|
Registered investment company
|
13,066 | ||||||||||||||||||
Cohen & Steers Rlty Shs Inc Com Fund
|
Registered investment company
|
276,057 | ||||||||||||||||||
Columbia Acorn Tr Fund
|
Registered investment company
|
10,687 | ||||||||||||||||||
Columbia Funds Ser Tr Emerging Markets
|
Registered investment company
|
31,885 | ||||||||||||||||||
Columbia Funds Ser Tr Energy & Nat Res
|
Registered investment company
|
81,778 | ||||||||||||||||||
Columbia Funds Ser Tr Strategic Investor
|
Registered investment company
|
18,633 | ||||||||||||||||||
Columbia Funds Ser Tr Value & Restructuring CL A
|
Registered investment company
|
74,542 | ||||||||||||||||||
Columbia Funds Ser Tr Value & Restructuring CL Z
|
Registered investment company
|
312,603 | ||||||||||||||||||
Columbia Funds Ser Tr Marsico 21st Century Fund
|
Registered investment company
|
87,951 | ||||||||||||||||||
Columbia Funds Ser Tr Mid Cap Value
|
Registered investment company
|
15,237 | ||||||||||||||||||
Conestoga Funds Small Cap Fund
|
Registered investment company
|
19,078 | ||||||||||||||||||
CRM Mid Cap Value Fund
|
Registered investment company
|
24,476 | ||||||||||||||||||
CRM Small/Mid Cap Value Fund
|
Registered investment company
|
13,182 | ||||||||||||||||||
Davis NY Venture Fund
|
Registered investment company
|
114,323 | ||||||||||||||||||
Delaware Pooled Tr Diversified Income Fund
|
Registered investment company
|
10,266 | ||||||||||||||||||
DFA Invt Dimensions Group US Micro Cap Fund
|
Registered investment company
|
11,125 | ||||||||||||||||||
Diamond Hill Small Cap Fund
|
Registered investment company
|
10,514 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Direxion Funds Latin America Bull
|
Registered investment company
|
4,187 | ||||||||||||||||||
Direxion Funds Commodity Bull 2x
|
Registered investment company
|
1,738 | ||||||||||||||||||
Direxion Funds 10 Year Note Bull 2.5x Fund
|
Registered investment company
|
905 | ||||||||||||||||||
Dodge & Cox Balanced Fund
|
Registered investment company
|
280,501 | ||||||||||||||||||
Dodge & Cox Inc Fund
|
Registered investment company
|
143,674 | ||||||||||||||||||
Dodge & Cox International Stock Fund
|
Registered investment company
|
202,291 | ||||||||||||||||||
Dodge & Cox Stock Fund
|
Registered investment company
|
139,280 | ||||||||||||||||||
Domini Social Index Fund
|
Registered investment company
|
5,549 | ||||||||||||||||||
Doubleline Total Return Bond - N
|
Registered investment company
|
5,378 | ||||||||||||||||||
Doubleline Total Return Bond - I
|
Registered investment company
|
10,412 | ||||||||||||||||||
Dreman Contrarian Fund Small Cap Value
|
Registered investment company
|
37,913 | ||||||||||||||||||
Dreyfus Appreciation Fund
|
Registered investment company
|
52,742 | ||||||||||||||||||
Dreyfus Emerging Markets Fund Cl A
|
Registered investment company
|
9,488 | ||||||||||||||||||
Dreyfus Emerging Markets Growth Fund
|
Registered investment company
|
51,576 | ||||||||||||||||||
Dreyfus Fund Inc
|
Registered investment company
|
8,657 | ||||||||||||||||||
Dreyfus Greater China Fund Cl A
|
Registered investment company
|
15,201 | ||||||||||||||||||
Dreyfus Index Funds Small Cap Stock Fund
|
Registered investment company
|
96,204 | ||||||||||||||||||
Dreyfus Invt Grade Funds
|
Registered investment company
|
4,637 | ||||||||||||||||||
Dreyfus Midcap Index Fund
|
Registered investment company
|
16,822 | ||||||||||||||||||
Dreyfus Midcap Growth Fund
|
Registered investment company
|
14,754 | ||||||||||||||||||
Dreyfus Opportunistic Mid Cap Value
|
Registered investment company
|
19,142 | ||||||||||||||||||
Driehaus Mutual Fund International Discovery Fund
|
Registered investment company
|
20,235 | ||||||||||||||||||
Dundeewealth Funds Dynamic Gold & Precious Metals
|
Registered investment company
|
15,433 | ||||||||||||||||||
DWS Equity Tr Alternative Asset Allocation Plus Fund
|
Registered investment company
|
85,756 | ||||||||||||||||||
DWS Mut Funds Gold & Precious Metals
|
Registered investment company
|
97,811 | ||||||||||||||||||
Eagle Small Cap Growth Fund
|
Registered investment company
|
20,023 | ||||||||||||||||||
Eaton Vance Inc Fund Bstn Inc
|
Registered investment company
|
71,901 | ||||||||||||||||||
Eaton Vance Mutual Funds Tr Fltg rate Fund
|
Registered investment company
|
55,285 | ||||||||||||||||||
Eaton Vance Mutual Funds Tr Fltg rate Fund CL A
|
Registered investment company
|
24,056 | ||||||||||||||||||
Eaton Vance Mutual Funds Tr Strategic Inc Fund
|
Registered investment company
|
85,112 | ||||||||||||||||||
Eaton Vance Parametric Structured Emerging Markets
|
Registered investment company
|
47,259 | ||||||||||||||||||
Eaton Vance Parametric Tax-managed Emerging Markets
|
Registered investment company
|
50,551 | ||||||||||||||||||
Eaton Vance Spl Invt Tr Greater India Fund
|
Registered investment company
|
12,534 | ||||||||||||||||||
Europac Growth Fund CL F-1
|
Registered investment company
|
18,875 | ||||||||||||||||||
Europac Growth Fund CL R-4
|
Registered investment company
|
79,691 | ||||||||||||||||||
Europac Growth Fund CL R-5
|
Registered investment company
|
86,093 | ||||||||||||||||||
Fairholme Income Fund
|
Registered investment company
|
568,151 | ||||||||||||||||||
FBR Funds Gas Util Index Fund
|
Registered investment company
|
9,361 | ||||||||||||||||||
FBR Funds Small Cap Finl Fund
|
Registered investment company
|
5,527 | ||||||||||||||||||
FBR Focus Fund
|
Registered investment company
|
29,373 | ||||||||||||||||||
Federated Income Secs Tr Short-term Income Fund
|
Registered investment company
|
57,788 | ||||||||||||||||||
Federated Prudent Bear Fund
|
Registered investment company
|
15,188 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Federated Total Return Sers Inc Bond Fund
|
Registered investment company
|
141,474 | ||||||||||||||||||
Fedt Equity Funds Cap Appreciation Fund
|
Registered investment company
|
66,763 | ||||||||||||||||||
Fidelity Advisor Ser II Fltg Rate High Inc Fund
|
Registered investment company
|
261,408 | ||||||||||||||||||
Fidelity Advisor Ser VIII Emerging Asia Fund
|
Registered investment company
|
57,978 | ||||||||||||||||||
Fidelity Cap & Income Fund
|
Registered investment company
|
59,119 | ||||||||||||||||||
Fidelity China Region Fund
|
Registered investment company
|
26,116 | ||||||||||||||||||
Fidelity Commonwealth Tr Small Cap Fund
|
Registered investment company
|
27,345 | ||||||||||||||||||
Fidelity Concord Str Tr Spartan Intl Index Fund
|
Registered investment company
|
4,600 | ||||||||||||||||||
Fidelity Concord Str Tr Spartan Short term Treas Bd Index
|
Registered investment company
|
253,742 | ||||||||||||||||||
Fidelity Finl Tr Conv Sec Fund
|
Registered investment company
|
3,420 | ||||||||||||||||||
Fidelity Diversified Intl Fund
|
Registered investment company
|
9,010 | ||||||||||||||||||
Fidelity Invt Tr Canada Fund
|
Registered investment company
|
47,049 | ||||||||||||||||||
Fidelity Contra Fund
|
Registered investment company
|
101,746 | ||||||||||||||||||
Fidelity Equity Income Real Estate Invt Portfolio
|
Registered investment company
|
26,664 | ||||||||||||||||||
Fidelity Fixed Income Tr Spartan Hi Inc Fund
|
Registered investment company
|
41,329 | ||||||||||||||||||
Fidelity DVD Growth Fund
|
Registered investment company
|
34,871 | ||||||||||||||||||
Fidelity Hastings Str Tr Growth Fund
|
Registered investment company
|
35,098 | ||||||||||||||||||
Fidelity Invt Tr New Markets Income Fund
|
Registered investment company
|
56,303 | ||||||||||||||||||
Fidelity Invt Tr Worldwide Fund
|
Registered investment company
|
20,801 | ||||||||||||||||||
Fidelity Low priced stock Fund
|
Registered investment company
|
40,152 | ||||||||||||||||||
Fidelity New Latin America Fund
|
Registered investment company
|
60,865 | ||||||||||||||||||
Fidelity OTC Portfolio Open End Fund
|
Registered investment company
|
27,490 | ||||||||||||||||||
Fidelity Secs Fund Leveraged Co Stock Fund
|
Registered investment company
|
3,881 | ||||||||||||||||||
Fidelity Select Portfolios Defense & Aerospace
|
Registered investment company
|
21,385 | ||||||||||||||||||
Fidelity Small Cap Stock Fund
|
Registered investment company
|
29,250 | ||||||||||||||||||
Fidelity Value Fund
|
Registered investment company
|
100,656 | ||||||||||||||||||
Firsthand Funds Tech Leaders Fund
|
Registered investment company
|
3,607 | ||||||||||||||||||
Firsthand Funds Technology Opportunities Fund
|
Registered investment company
|
1,019 | ||||||||||||||||||
Firsthand Funds Technology Value Fund
|
Registered investment company
|
269 | ||||||||||||||||||
Fleming Cap Mut Fund Group JP Morgan MidCap Value Fund
|
Registered investment company
|
7,075 | ||||||||||||||||||
FMI Common Stk Fund
|
Registered investment company
|
13,236 | ||||||||||||||||||
FMI Funds Inc
|
Registered investment company
|
172,850 | ||||||||||||||||||
FMI Funds Inc Focus Fund
|
Registered investment company
|
4,731 | ||||||||||||||||||
Forum Funds Merk Hard Currency
|
Registered investment company
|
81,542 | ||||||||||||||||||
FPA Funds Tr FPA Crescent Portfolio
|
Registered investment company
|
32,343 | ||||||||||||||||||
FPA New Income Inc Com
|
Registered investment company
|
2,621 | ||||||||||||||||||
Franklin Templeton Global Tr Hard Currency Fund
|
Registered investment company
|
18,341 | ||||||||||||||||||
Franklin Invs Secs Tr Fltg Rate Daily Access
|
Registered investment company
|
15,123 | ||||||||||||||||||
Franklin Strategic Ser Nat Res Fund
|
Registered investment company
|
32,939 | ||||||||||||||||||
Franklin Value Invs Tr Small Cap Value Fund
|
Registered investment company
|
164,803 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Franklin Growth Fund
|
Registered investment company
|
4,366 | ||||||||||||||||||
Gabelli Ast Fund Sh Ben Int Fund
|
Registered investment company
|
49,851 | ||||||||||||||||||
Gabelli Equity Inc Fund
|
Registered investment company
|
126,926 | ||||||||||||||||||
Gabelli Small Cap Growth Fund
|
Registered investment company
|
84,980 | ||||||||||||||||||
Gamco Global Ser Funds
|
Registered investment company
|
8,158 | ||||||||||||||||||
Gamco Gold Fund
|
Registered investment company
|
55,332 | ||||||||||||||||||
Gamco Westwood Funds Balanced
|
Registered investment company
|
34,939 | ||||||||||||||||||
Gamco Westwood Funds Mighty Mites Fund
|
Registered investment company
|
45,526 | ||||||||||||||||||
Goldman Sachs Tr Mid Cap Equity Fund Class A
|
Registered investment company
|
37,095 | ||||||||||||||||||
Goldman Sachs Tr Mid Cap Equity Fund Instl Shs
|
Registered investment company
|
12,279 | ||||||||||||||||||
Goldman Sachs Tr Emerging Markets Equity Fund
|
Registered investment company
|
17,720 | ||||||||||||||||||
Greenspring Fund
|
Registered investment company
|
4,334 | ||||||||||||||||||
Growth Fund America Inc CL F-1
|
Registered investment company
|
22,611 | ||||||||||||||||||
Growth Fund America Inc CL R-4
|
Registered investment company
|
67,789 | ||||||||||||||||||
Growth Fund America Inc CL R-5
|
Registered investment company
|
78,967 | ||||||||||||||||||
Guinness Atkinson Funds China & Hong Kong
|
Registered investment company
|
45,180 | ||||||||||||||||||
Guinness Atkinson Funds Alternative Energy
|
Registered investment company
|
19,140 | ||||||||||||||||||
Guinness Atkinson Funds Global Energy
|
Registered investment company
|
17,379 | ||||||||||||||||||
Harbor Fund Intl Fund
|
Registered investment company
|
178,115 | ||||||||||||||||||
Harbor Fund Bd Fund
|
Registered investment company
|
53,309 | ||||||||||||||||||
Harbor Fund Cap Appreciation Fund
|
Registered investment company
|
9,305 | ||||||||||||||||||
Harding Loevner Fds Inc Emerging Markets Growth Fund
|
Registered investment company
|
31,598 | ||||||||||||||||||
Harris Assoc Invt Tr Oakmark Intl Small Cap Fund
|
Registered investment company
|
14,563 | ||||||||||||||||||
Hartford Mutual Fund Inc for future issues Cap Appreciation
|
Registered investment company
|
52,475 | ||||||||||||||||||
Hartford Mutual Fund Inc for future issues Mid Cap
|
Registered investment company
|
88,074 | ||||||||||||||||||
Heartland Group Inc Select Value Fund
|
Registered investment company
|
39,849 | ||||||||||||||||||
Heartland Group Inc Value Plus Fund
|
Registered investment company
|
77,569 | ||||||||||||||||||
Henderson Global Intl Opportunities Fund
|
Registered investment company
|
19,066 | ||||||||||||||||||
Hennessy Mutual Funds Inc Focus Fund
|
Registered investment company
|
98,082 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Holland Series Fund Inc Balanced Fund
|
Registered investment company
|
196 | ||||||||||||||||||
Hotchkis & Wiley Small Cap Value Fund
|
Registered investment company
|
20,958 | ||||||||||||||||||
Hussman Strategic Growth Fund
|
Registered investment company
|
124,112 | ||||||||||||||||||
Hussman Strategic Total Return Fund
|
Registered investment company
|
20,447 | ||||||||||||||||||
Icon Funds Intl Equity Fund
|
Registered investment company
|
4,961 | ||||||||||||||||||
Icon Funds Energy Fund
|
Registered investment company
|
294,127 | ||||||||||||||||||
Icon Funds Finl Fund
|
Registered investment company
|
7,337 | ||||||||||||||||||
Icon Funds Industrials Fund
|
Registered investment company
|
3,852 | ||||||||||||||||||
Icon Funds Information Tech Fund
|
Registered investment company
|
23,325 | ||||||||||||||||||
Icon Funds Materials Fund
|
Registered investment company
|
1,305 | ||||||||||||||||||
Ing Global Real Estate Fund
|
Registered investment company
|
13,777 | ||||||||||||||||||
Ing Mutual Funds for future issues: Global Nat Resources
|
Registered investment company
|
4,080 | ||||||||||||||||||
Ing Mutual Funds Global BOnd Fund
|
Registered investment company
|
3,548 | ||||||||||||||||||
Intech Risk-managed Core Fund
|
Registered investment company
|
54,125 | ||||||||||||||||||
International Fund
|
Registered investment company
|
556,694 | ||||||||||||||||||
International Growth & Income Fund
|
Registered investment company
|
4,618 | ||||||||||||||||||
Intrepid Cap Mgmt Funds Small Cap
|
Registered investment company
|
9,989 | ||||||||||||||||||
Invesco Charter Fund
|
Registered investment company
|
61,078 | ||||||||||||||||||
Invesco Diversified Dividend Fund
|
Registered investment company
|
18,301 | ||||||||||||||||||
Invesco Leisure Fund
|
Registered investment company
|
7,273 | ||||||||||||||||||
Invesco Technology Fund
|
Registered investment company
|
2,616 | ||||||||||||||||||
Ivy Fund Global Nat Res Fund
|
Registered investment company
|
131,493 | ||||||||||||||||||
Ivy Funds Inc Asset Strategy Fund CL A
|
Registered investment company
|
146,199 | ||||||||||||||||||
Ivy Funds Inc Asset Strategy Fund CL Y
|
Registered investment company
|
28,273 | ||||||||||||||||||
James Advantage Funds Balanced Golden Rainbow Fund
|
Registered investment company
|
3,658 | ||||||||||||||||||
Janus Contrarian Fund
|
Registered investment company
|
115,627 | ||||||||||||||||||
Janus Growth & Income Fund
|
Registered investment company
|
121,630 | ||||||||||||||||||
Janus Invt Fund Balanced Fund
|
Registered investment company
|
169,719 | ||||||||||||||||||
Janus Invt Fund Enterprise Fund
|
Registered investment company
|
120,614 | ||||||||||||||||||
Janus Invt Fund Flexible Bond
|
Registered investment company
|
20,621 | ||||||||||||||||||
Janus Invt Fund Global Research Fund
|
Registered investment company
|
7,691 | ||||||||||||||||||
Janus Invt Fund Global Select Fund
|
Registered investment company
|
100,055 | ||||||||||||||||||
Janus Invt Fund Global Tech Fund
|
Registered investment company
|
23,411 | ||||||||||||||||||
Janus Invt Fund High-yield Fund
|
Registered investment company
|
33,875 | ||||||||||||||||||
Janus Invt Fund Overseas Fund
|
Registered investment company
|
354,302 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Janus Invt Fund Triton Fund
|
Registered investment company
|
90,703 | ||||||||||||||||||
Janus Research Fund
|
Registered investment company
|
268,485 | ||||||||||||||||||
Janus Invt Fund Short term Bond Fund
|
Registered investment company
|
1,303 | ||||||||||||||||||
Jensen Portfolio Inc Fund Cl J
|
Registered investment company
|
459,981 | ||||||||||||||||||
John Hancock Classic Value
|
Registered investment company
|
31,920 | ||||||||||||||||||
John Hancock Disciplined Value Fund
|
Registered investment company
|
131,347 | ||||||||||||||||||
John Hancock Funds III US Core
|
Registered investment company
|
36,151 | ||||||||||||||||||
John Hancock Strategic Ser Inc Fund
|
Registered investment company
|
12,295 | ||||||||||||||||||
JP Morgan Tr US Equity Fund
|
Registered investment company
|
40,141 | ||||||||||||||||||
Kalmar Pooled Invt Tr Small Cap
|
Registered investment company
|
42,365 | ||||||||||||||||||
Keeley Small Cap Value Fund
|
Registered investment company
|
94,068 | ||||||||||||||||||
Kinetics Mut Funds Inc Small Cap Opportunities Fund
|
Registered investment company
|
14,632 | ||||||||||||||||||
Kinetics New Paradigm Fund
|
Registered investment company
|
47,644 | ||||||||||||||||||
Large Cap Value
|
Registered investment company
|
136,352 | ||||||||||||||||||
Laudus Tr Growth Large Cap Growth Fund
|
Registered investment company
|
65,619 | ||||||||||||||||||
Laudus Tr Mondrian Intl Fixed Income
|
Registered investment company
|
8,836 | ||||||||||||||||||
Lazard Funds Inc Emerging Markets Fund
|
Registered investment company
|
153,529 | ||||||||||||||||||
Lazard Funds Inc Intl Small Cap Fund
|
Registered investment company
|
2,376 | ||||||||||||||||||
Legg Mason Partners Clearbridge Large Cap Value Fund
|
Registered investment company
|
41,424 | ||||||||||||||||||
Loomis Sayles Bond Fund
|
Registered investment company
|
344,925 | ||||||||||||||||||
Loomis Sayles Funds II
|
Registered investment company
|
35,556 | ||||||||||||||||||
Loomis Sayles Invt Trust Fund
|
Registered investment company
|
14,489 | ||||||||||||||||||
Loomis Sayles Invt Tr Small Cap Value Fund
|
Registered investment company
|
34,716 | ||||||||||||||||||
Loomis Sayles Invt Tr Global Bond Fund
|
Registered investment company
|
7,752 | ||||||||||||||||||
Mainstay ICAP International
|
Registered investment company
|
31,484 | ||||||||||||||||||
Mainstay ICAP Select Equity
|
Registered investment company
|
21,956 | ||||||||||||||||||
Managers Fund Inter Duration Govt Fund
|
Registered investment company
|
10,460 | ||||||||||||||||||
Managers Funds Pimco Bond Fund
|
Registered investment company
|
52,852 | ||||||||||||||||||
Manning & Napier Fund Inc New Equity Ser Fund
|
Registered investment company
|
9,176 | ||||||||||||||||||
Manning & Napier Fund New World Opportunities
|
Registered investment company
|
187,379 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Manning & Napier Fund Inc New Pro Blend Conservative
|
Registered investment company
|
4,697 | ||||||||||||||||||
Marisco Invt Fund Flexible Cap Fund
|
Registered investment company
|
9,942 | ||||||||||||||||||
Marisco Invt Fund Focus Fund
|
Registered investment company
|
187,301 | ||||||||||||||||||
Marsico Invt Growth Fund
|
Registered investment company
|
10,950 | ||||||||||||||||||
Marsico Invt Fund 21st Century Fund
|
Registered investment company
|
292,342 | ||||||||||||||||||
Matthews International Funds Asian Growth
|
Registered investment company
|
3,175 | ||||||||||||||||||
Matthews International Funds Asian Growth & Income
|
Registered investment company
|
220,503 | ||||||||||||||||||
Matthews Asian Funds Asia Small Cos
|
Registered investment company
|
3,635 | ||||||||||||||||||
Matthews Intl Funds Asian Sci & Technology
|
Registered investment company
|
6,400 | ||||||||||||||||||
Matthews International Funds Asian Technology Fund
|
Registered investment company
|
48,135 | ||||||||||||||||||
Matthews International Funds China Fund
|
Registered investment company
|
184,462 | ||||||||||||||||||
Matthews International Funds Pac Tiger Fund
|
Registered investment company
|
119,637 | ||||||||||||||||||
Matthews International Funds India Fund
|
Registered investment company
|
79,569 | ||||||||||||||||||
Matthews Korea Fund
|
Registered investment company
|
3,049 | ||||||||||||||||||
Merger Sh Ben Int
|
Registered investment company
|
4,067 | ||||||||||||||||||
Meridian Fund Inc Com Open End Fund
|
Registered investment company
|
241,410 | ||||||||||||||||||
Meridian Fund Inc Value Fund
|
Registered investment company
|
71,152 | ||||||||||||||||||
Metropolitan West Funds High Yield Bond Fund
|
Registered investment company
|
34,026 | ||||||||||||||||||
Metropolitan West Funds Total Return Bond Fund
|
Registered investment company
|
185,157 | ||||||||||||||||||
MFS Emerging Markets Debt Fund CL 1
|
Registered investment company
|
12,395 | ||||||||||||||||||
MFS Ser Tr Emerging Markets Debt Fund
|
Registered investment company
|
149,056 | ||||||||||||||||||
MFS Utils Fund
|
Registered investment company
|
14,593 | ||||||||||||||||||
Morgan Stanley Institutional Mid Cap Growth
|
Registered investment company
|
103,154 | ||||||||||||||||||
Motley Fool Independence Fund
|
Registered investment company
|
15,376 | ||||||||||||||||||
Motley Fool Tr Great America Fund
|
Registered investment company
|
24,154 | ||||||||||||||||||
Mutual Global Discovery Fund
|
Registered investment company
|
145,178 | ||||||||||||||||||
Mutuals Com Vice Fund
|
Registered investment company
|
993 | ||||||||||||||||||
Needham Funds Income Growth Fund
|
Registered investment company
|
161,082 | ||||||||||||||||||
Needham Funds Small Cap Growth Fund
|
Registered investment company
|
26,385 | ||||||||||||||||||
Neuberger & Berman Equity Funds Genesis Fund
|
Registered investment company
|
48,449 | ||||||||||||||||||
Neuberger & Berman Partners Equity Fund
|
Registered investment company
|
4,148 | ||||||||||||||||||
Neuberger Berman Equity Funds Real Estate Fund
|
Registered investment company
|
15,036 | ||||||||||||||||||
Neuberger Berman Equity Funds Small Cap Growth Fund
|
Registered investment company
|
189,925 | ||||||||||||||||||
Northern Funds Global Fixed Income Fund
|
Registered investment company
|
1,619 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Northern Funds Small Cap Value Fund
|
Registered investment company
|
29,699 | ||||||||||||||||||
Northern Lts Tr Southern Sun Small Cap
|
Registered investment company
|
1,631 | ||||||||||||||||||
Northern Lts Tr Astor Long/Short ETF
|
Registered investment company
|
30,518 | ||||||||||||||||||
Northern Multi-manager Mid Cap Fund
|
Registered investment company
|
19,758 | ||||||||||||||||||
Nuveen Invt Funds Real Estate
|
Registered investment company
|
47,020 | ||||||||||||||||||
Nuveen Invt Funds Inc Small Cap
|
Registered investment company
|
5,554 | ||||||||||||||||||
Nuveen Invt Tr II Tradewinds Global Res Fund
|
Registered investment company
|
6,153 | ||||||||||||||||||
Oakmark Equity & Inc Fund
|
Registered investment company
|
550,538 | ||||||||||||||||||
Oakmark Fund
|
Registered investment company
|
109,043 | ||||||||||||||||||
Oakmark Global Fund
|
Registered investment company
|
89,116 | ||||||||||||||||||
Oakmark International Fund Open End Fund
|
Registered investment company
|
325,778 | ||||||||||||||||||
Oakmark Select Fund
|
Registered investment company
|
119,557 | ||||||||||||||||||
Oberweis Funds China Oppty Fund
|
Registered investment company
|
82,866 | ||||||||||||||||||
Old Mut Advisor Funds II Barrow Hanley/Value
|
Registered investment company
|
15,311 | ||||||||||||||||||
Oppenheimer Developing Markets Cl A
|
Registered investment company
|
123,092 | ||||||||||||||||||
Oppenheimer Developing Markets Cl Y
|
Registered investment company
|
20,268 | ||||||||||||||||||
Oppenheimer Gold & Spl Minerals
|
Registered investment company
|
51,907 | ||||||||||||||||||
Oppenheimer Intl Bond Fund CL A
|
Registered investment company
|
17,112 | ||||||||||||||||||
Oppenheimer Intl Bond Fund CL Y
|
Registered investment company
|
69,876 | ||||||||||||||||||
Oppenheimer Quest for Value Fund
|
Registered investment company
|
157,379 | ||||||||||||||||||
Overseas Fund CL S
|
Registered investment company
|
18,791 | ||||||||||||||||||
Paradigm Funds Value
|
Registered investment company
|
10,120 | ||||||||||||||||||
Parnassus Fund
|
Registered investment company
|
10,611 | ||||||||||||||||||
Parnassus Fund Small Cap
|
Registered investment company
|
51,047 | ||||||||||||||||||
Parnassus Inc Tr Eqty Inc Fund
|
Registered investment company
|
271,492 | ||||||||||||||||||
Parnassus Workplace Fund
|
Registered investment company
|
1,217 | ||||||||||||||||||
Pax World Balanced Fund
|
Registered investment company
|
3,553 | ||||||||||||||||||
Payden & Rygel Invt Group Metzler/Payden Eur
|
Registered investment company
|
9,219 | ||||||||||||||||||
Payden & Rygel Invt Group Emerging Markets Bond Fund
|
Registered investment company
|
4,738 | ||||||||||||||||||
Payden & Rygel Invt Group GNMA Fund
|
Registered investment company
|
51,856 | ||||||||||||||||||
Perkins Mid Cap Value
|
Registered investment company
|
287,695 | ||||||||||||||||||
Perkins S/C Value Fund
|
Registered investment company
|
12,355 | ||||||||||||||||||
Perm Portfolio Fund
|
Registered investment company
|
319,282 | ||||||||||||||||||
Perritt Micro Cap Opportunities Fund
|
Registered investment company
|
14,094 | ||||||||||||||||||
Pimco Funds Developing Loc Mkt Fund
|
Registered investment company
|
5,463 | ||||||||||||||||||
Pimco Equity Ser Pathfinder Fund
|
Registered investment company
|
109 | ||||||||||||||||||
Pimco Funds Emerging Local Bond Fund
|
Registered investment company
|
48,993 | ||||||||||||||||||
Pimco Funds Global Multi-Ast Fund
|
Registered investment company
|
272,830 | ||||||||||||||||||
Pimco Funds Global Multi-Asset Instl Cl
|
Registered investment company
|
184,826 |
(a) | (b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Pimco Funds Pac Invt Mgmt Ser Commodity Real Ret Fund
|
Registered investment company
|
29,814 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Emerging Markets Bond Fund
|
Registered investment company
|
63,282 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser For Future Issues
|
Registered investment company
|
55,369 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser For Future Issues All Auth CL D
|
Registered investment company
|
213,559 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser For Future Issues All Ast CL D
|
Registered investment company
|
19,322 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Future Diversified Fund
|
Registered investment company
|
18,069 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Foreign Bond Fund
|
Registered investment company
|
68,208 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Hi Yield Fund
|
Registered investment company
|
66,138 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Invt Grade Bond Fund
|
Registered investment company
|
98,377 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Low Duration Fund
|
Registered investment company
|
174,900 | ||||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Total Return Fund
|
Registered investment company
|
714,833 | ||||||||||||||||||
Pimco Fundamental Index
|
Registered investment company
|
15,438 | ||||||||||||||||||
Pimco Income Fund
|
Registered investment company
|
4,609 | ||||||||||||||||||
Pimco Real Return Bond Fund
|
Registered investment company
|
126,011 | ||||||||||||||||||
Pimco Unconstrained Bond Fund
|
Registered investment company
|
68,403 | ||||||||||||||||||
Pioneer Hi Yield Fund
|
Registered investment company
|
37,066 | ||||||||||||||||||
Price T Rowe Growth Stk Fund
|
Registered investment company
|
24,289 | ||||||||||||||||||
Price T Rowe Global Technology Fund
|
Registered investment company
|
7,255 | ||||||||||||||||||
Price T Rowe Hi Yield Fund
|
Registered investment company
|
38,829 | ||||||||||||||||||
Price T Rowe Health Science Fund
|
Registered investment company
|
17,874 | ||||||||||||||||||
Price T Rowe Retirement Fund 2030FD
|
Registered investment company
|
24,440 | ||||||||||||||||||
Price T Rowe Retirement Fund 2035FD
|
Registered investment company
|
1,039 | ||||||||||||||||||
Primecap Odyssey Funds Aggressive Growth Fund
|
Registered investment company
|
22,868 | ||||||||||||||||||
Primecap Odyssey Funds Growth Fund
|
Registered investment company
|
94,926 | ||||||||||||||||||
Professionally Managed Fund Asterick Xupgrader Fund
|
Registered investment company
|
4,482 | ||||||||||||||||||
Professionally Managed Portfolios 21
|
Registered investment company
|
15,143 | ||||||||||||||||||
Professionally Managed Portfolios Akre Focus Fund
|
Registered investment company
|
12,636 | ||||||||||||||||||
Professionally Managed Portfolios Osterweis Strategic Inc
|
Registered investment company
|
5,054 | ||||||||||||||||||
Professionally Managed Portfolios Villerre Balanced Fund
|
Registered investment company
|
20,535 | ||||||||||||||||||
Profunds Internet Ultrasector
|
Registered investment company
|
4,747 | ||||||||||||||||||
Profunds Ultra Emerging Mkts Fund
|
Registered investment company
|
2,126 | ||||||||||||||||||
Profunds Ultra Short Japan
|
Registered investment company
|
1,294 | ||||||||||||||||||
Profunds Ultra Latin America
|
Registered investment company
|
520 | ||||||||||||||||||
Profunds Ultrabear
|
Registered investment company
|
16,390 | ||||||||||||||||||
Profunds Ultrashort Dow 30
|
Registered investment company
|
19,444 | ||||||||||||||||||
Profunds Mutual Funds Oil Equip Svcs & Distr Ultra Sector Fund
|
Registered investment company
|
710 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Profunds Oil & Gas Ultrasector Fund
|
Registered investment company
|
82,105 | ||||||||||||||||||
Profunds Pharmaceuticals Ultrasector
|
Registered investment company
|
3,608 | ||||||||||||||||||
Profunds Precious Metals Ultrasector
|
Registered investment company
|
47,134 | ||||||||||||||||||
Profunds Utils Ultrasector
|
Registered investment company
|
388 | ||||||||||||||||||
Prudential Jennison Natural Resources CL A
|
Registered investment company
|
33,012 | ||||||||||||||||||
Prudential Jennison Natural Resources CL Z
|
Registered investment company
|
58,377 | ||||||||||||||||||
Putnam Funds Tr Absolute Return 300 CL Y
|
Registered investment company
|
73,974 | ||||||||||||||||||
Putnam Funds Tr Absolute Return 300 CL A
|
Registered investment company
|
95,084 | ||||||||||||||||||
Quaker Invt Tr Strategic Growth Fund
|
Registered investment company
|
20,648 | ||||||||||||||||||
Rainier Funds Mid Cap Equity
|
Registered investment company
|
328 | ||||||||||||||||||
Reynolds Funds Blue Chip Growth
|
Registered investment company
|
16,277 | ||||||||||||||||||
Ridgeworth Funds High Income
|
Registered investment company
|
40,983 | ||||||||||||||||||
Ridgeworth Funds Intermediate Bond Fund
|
Registered investment company
|
18,164 | ||||||||||||||||||
Ridgeworth Funds Large Cap Core Equity
|
Registered investment company
|
16,241 | ||||||||||||||||||
Ridgeworth Funds Mid-Cap Value Equity
|
Registered investment company
|
18,835 | ||||||||||||||||||
Rim Small/Mid Equity Portfolio Fund
|
Registered investment company
|
16,629 | ||||||||||||||||||
Riv Rd Divid All Cap Value
|
Registered investment company
|
27,385 | ||||||||||||||||||
Rowe Price New Era Fund Inc
|
Registered investment company
|
86,491 | ||||||||||||||||||
Rowe T Price Blue Chip Growth Fund
|
Registered investment company
|
64,141 | ||||||||||||||||||
Rowe T Price Equity Income Fund
|
Registered investment company
|
353,922 | ||||||||||||||||||
Rowe T Price Index Tr Income Equity 500 Index Fund
|
Registered investment company
|
7,790 | ||||||||||||||||||
Rowe T Price Int Latin America Fund
|
Registered investment company
|
276,605 | ||||||||||||||||||
Rowe T Price Intl Funds Inc Africa and the Middle East Fund
|
Registered investment company
|
7,129 | ||||||||||||||||||
Rowe T Price Intl Funds Emerging Markets Stock Fund
|
Registered investment company
|
99,382 | ||||||||||||||||||
Rowe T Price Intl Funds Intl Fund Open End Fund
|
Registered investment company
|
2,034 | ||||||||||||||||||
Rowe T Price Intl Funds New Asia
|
Registered investment company
|
35,868 | ||||||||||||||||||
Rowe T Price Mid-Cap Growth Fund
|
Registered investment company
|
22,102 | ||||||||||||||||||
Rowe T Price Real Estate Fund
|
Registered investment company
|
13,658 | ||||||||||||||||||
Rowe T Price Small Cap Fund
|
Registered investment company
|
11,034 | ||||||||||||||||||
Rowe T Price Spectrum Fund Inc Intl Fund
|
Registered investment company
|
228,080 | ||||||||||||||||||
Rowe T Price Spectrum Fund Inc Open End Fund
|
Registered investment company
|
555,372 | ||||||||||||||||||
Royce Fund Dividend Value
|
Registered investment company
|
30,479 | ||||||||||||||||||
Royce Fund Global Value
|
Registered investment company
|
13,315 | ||||||||||||||||||
Royce Fund Heritage Fund
|
Registered investment company
|
98,503 | ||||||||||||||||||
Royce Fund Low Priced Stock Fund
|
Registered investment company
|
56,459 | ||||||||||||||||||
Royce Fund Micro-Cap Fund
|
Registered investment company
|
13,619 | ||||||||||||||||||
Royce Fund Opportunity Fund
|
Registered investment company
|
788 | ||||||||||||||||||
Royce Fund Pa Mut Fund
|
Registered investment company
|
27,736 | ||||||||||||||||||
Royce Fund Premier Fund Invt Cl
|
Registered investment company
|
173,695 | ||||||||||||||||||
Royce Fund Premier Fund Svs Cl
|
Registered investment company
|
8,909 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Royce Fund Spl Equity Fund
|
Registered investment company
|
16,542 | ||||||||||||||||||
Royce Fund Total Return Fund
|
Registered investment company
|
78,717 | ||||||||||||||||||
Royce Fund Total Return Fund Svc CL
|
Registered investment company
|
5,185 | ||||||||||||||||||
Royce Fund Value Fund
|
Registered investment company
|
18,140 | ||||||||||||||||||
Royce Fund Value Plus Fund
|
Registered investment company
|
48,275 | ||||||||||||||||||
RS Invt Tr Fltg Rate Fund CL A
|
Registered investment company
|
30,624 | ||||||||||||||||||
RS Invt Tr Global Nat Res Fund
|
Registered investment company
|
98,295 | ||||||||||||||||||
RS Invt Tr Partners Fund
|
Registered investment company
|
4,884 | ||||||||||||||||||
RS Invt Tr Technolodgy Fund
|
Registered investment company
|
27,181 | ||||||||||||||||||
Rydex Service Funds Biotechnology Fund
|
Registered investment company
|
7,837 | ||||||||||||||||||
Rydex Service Funds Consumer Products
|
Registered investment company
|
26,448 | ||||||||||||||||||
Rydex Service Funds Inverse Govt Long Bond Strategy Fund
|
Registered investment company
|
8,728 | ||||||||||||||||||
Rydex Service Funds Nasdaq 100 Fund
|
Registered investment company
|
108,599 | ||||||||||||||||||
Rydex Service Funds Precious Metals Fund
|
Registered investment company
|
43,626 | ||||||||||||||||||
Rydex Service Tr URSA Fund
|
Registered investment company
|
384,607 | ||||||||||||||||||
Rydex/SGI Service Funds Managed Futures Strategy
|
Registered investment company
|
23,116 | ||||||||||||||||||
Saturna Invt Tr Sextant Intl Fund
|
Registered investment company
|
18,128 | ||||||||||||||||||
Schroder Ser Tr
|
Registered investment company
|
16,544 | ||||||||||||||||||
Schwab Cap Tr Asset Director Hi Growth Fund
|
Registered investment company
|
12,905 | ||||||||||||||||||
Schwab Cap Tr Ast Director-Aggressive Growth Fund
|
Registered investment company
|
6,046 | ||||||||||||||||||
Schwab Cap Tr Core Equity Fund
|
Registered investment company
|
37,153 | ||||||||||||||||||
Schwab Cap Tr Dividend Equity Fund
|
Registered investment company
|
63,242 | ||||||||||||||||||
Schwab Cap Tr Financial Services Fund
|
Registered investment company
|
3,962 | ||||||||||||||||||
Schwab Cap Tr Fundamental US Small-Mid
|
Registered investment company
|
22,038 | ||||||||||||||||||
Schwab Cap Tr Fundamental US Large Co Index Fund
|
Registered investment company
|
22,323 | ||||||||||||||||||
Schwab Cap Tr Health Care Fund
|
Registered investment company
|
38,945 | ||||||||||||||||||
Schwab Cap Tr Intl Index Fund
|
Registered investment company
|
89,592 | ||||||||||||||||||
Schwab Cap Tr Laudus Intl Market Masters Fund
|
Registered investment company
|
126,315 | ||||||||||||||||||
Schwab Cap Tr S&P 500 Index Fund
|
Registered investment company
|
562,251 | ||||||||||||||||||
Schwab Cap Tr Target 2030 Fund
|
Registered investment company
|
15,582 | ||||||||||||||||||
Schwab Cap Tr Target 2040 Fund
|
Registered investment company
|
34,715 | ||||||||||||||||||
Schwab Charles Family Funds Inv Money Fund
|
Registered investment company
|
34,399 | ||||||||||||||||||
Schwab Family Fund Money Market Fund
|
Registered investment company
|
3,075,712 | ||||||||||||||||||
Schwab Govt Sec Fund
|
Registered investment company
|
90,235 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Schwab Invts Global Real Estate Fund
|
Registered investment company
|
17,164 | ||||||||||||||||||
Schwab Invts 1000 Index Fund
|
Registered investment company
|
36,709 | ||||||||||||||||||
Schwab Small Cap Index Select
|
Registered investment company
|
51,637 | ||||||||||||||||||
Schwab Invts Treas Inflation Protection Secs Fund
|
Registered investment company
|
3,126 | ||||||||||||||||||
Schwab Total Bond Mkt Index Fund
|
Registered investment company
|
7,179 | ||||||||||||||||||
Schwab total Stock Market Index Fund
|
Registered investment company
|
313,685 | ||||||||||||||||||
Scout Funds Core Plus Bond Fund
|
Registered investment company
|
10,218 | ||||||||||||||||||
Scwartz Intv Tr Ave Maria Rising Dividend Fund
|
Registered investment company
|
4,604 | ||||||||||||||||||
Selected Amer Sh Inc Cap Stk Fund
|
Registered investment company
|
254,769 | ||||||||||||||||||
Selected Spl Shs Fund
|
Registered investment company
|
12,012 | ||||||||||||||||||
Sequoia Fund Inc Com Stk Open End Fund
|
Registered investment company
|
24,374 | ||||||||||||||||||
Short Nasdaq 100 Inv
|
Registered investment company
|
56,492 | ||||||||||||||||||
SIT Mutual Funds Inc Small Cap Growth Fund
|
Registered investment company
|
39,331 | ||||||||||||||||||
SIT New Beginning US Govt Secs Fund
|
Registered investment company
|
14,912 | ||||||||||||||||||
Small Capitalization Inv Fund
|
Registered investment company
|
66,730 | ||||||||||||||||||
Sound Shore Fund Inc
|
Registered investment company
|
25,456 | ||||||||||||||||||
SSGA Emerging Mkt Fund
|
Registered investment company
|
53,899 | ||||||||||||||||||
SSGA International Stock Selection Fund
|
Registered investment company
|
55,532 | ||||||||||||||||||
SSGA Funds Real Estate Equity Fund
|
Registered investment company
|
3,319 | ||||||||||||||||||
Steelpath MLP Funds Tr Select 40
|
Registered investment company
|
5,538 | ||||||||||||||||||
Stratton Funds Inc Small Cap Value Fund
|
Registered investment company
|
7,428 | ||||||||||||||||||
T Rowe Price Cap Appreciation Fund
|
Registered investment company
|
191,240 | ||||||||||||||||||
T Rowe Price Finl Svcs Fund
|
Registered investment company
|
3,617 | ||||||||||||||||||
TCW Funds Inc Emerging Markets Inc Fund
|
Registered investment company
|
10,140 | ||||||||||||||||||
TCW Funds Inc Formerly TCW Galileo Emerging Markets
|
Registered investment company
|
4,272 | ||||||||||||||||||
TCW Galileo Funds Inc Dividend Focused Fund
|
Registered investment company
|
13,409 | ||||||||||||||||||
TCW Galileo Funds Inc Select Equities Fund
|
Registered investment company
|
27,264 | ||||||||||||||||||
TCW Galileo Funds Inc Small Cap Growth Fund
|
Registered investment company
|
6,230 | ||||||||||||||||||
TCW Galileo Funds Inc Total Return Bond Fund
|
Registered investment company
|
102,751 | ||||||||||||||||||
Templeton Growth Fund
|
Registered investment company
|
11,047 | ||||||||||||||||||
Templeton Tr Global Bond Fund
|
Registered investment company
|
56,887 | ||||||||||||||||||
Templeton Global Invt Tr Bric Fund
|
Registered investment company
|
3,743 | ||||||||||||||||||
TFS Cap Invt Tr Market Neutral Fund
|
Registered investment company
|
16,007 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
The Select Fund
|
Registered investment company
|
5,476 | ||||||||||||||||||
Third Avenue Tr Small Cap Value Fund
|
Registered investment company
|
3,510 | ||||||||||||||||||
Third Avenue Tr Value Tr Fund
|
Registered investment company
|
111,976 | ||||||||||||||||||
Thomas White Intl Fund
|
Registered investment company
|
30,138 | ||||||||||||||||||
Thompson Plumb Funds Inc Bond Fund
|
Registered investment company
|
7,651 | ||||||||||||||||||
Thornburg Intl Value Fund
|
Registered investment company
|
30,407 | ||||||||||||||||||
Tocqueville Gold Fund
|
Registered investment company
|
322,915 | ||||||||||||||||||
Tocqueville Tr Delafield Fund
|
Registered investment company
|
31,651 | ||||||||||||||||||
Tocqueville Tr Fund
|
Registered investment company
|
72,663 | ||||||||||||||||||
Touchstone Funds Group Tr Small Cap Value Fund
|
Registered investment company
|
5,512 | ||||||||||||||||||
Touchstone funds Group Tr Ultra Short Duration Fixed
|
Registered investment company
|
6,177 | ||||||||||||||||||
Touchstone Strategic Tr Large Cap Growth Fund
|
Registered investment company
|
6,589 | ||||||||||||||||||
Transamerica Funds formally Transamerica Balanced Fund
|
Registered investment company
|
30,375 | ||||||||||||||||||
Transamerica WMC Div Group
|
Registered investment company
|
52,217 | ||||||||||||||||||
Trust for Professional Managers Cookson Peirce Core Equity Fund
|
Registered investment company
|
2,768 | ||||||||||||||||||
Turner Funds Midcap Fund
|
Registered investment company
|
102,944 | ||||||||||||||||||
Tweedy Browne Fund Inc Global Value Fund
|
Registered investment company
|
69,411 | ||||||||||||||||||
US Global Accolade Funds Eastn European Fund
|
Registered investment company
|
49,199 | ||||||||||||||||||
US Global Investors Funds
|
Registered investment company
|
82,394 | ||||||||||||||||||
Ultra NASDAQ 100 Inv
|
Registered investment company
|
7,496 | ||||||||||||||||||
Unified Ser Tr IMS Cap Value Fund
|
Registered investment company
|
93,492 | ||||||||||||||||||
Unified Ser Tr Roosevelt Multi-Cap Fund
|
Registered investment company
|
12,606 | ||||||||||||||||||
USGI Wold Precious Mineral Fund
|
Registered investment company
|
25,802 | ||||||||||||||||||
UTD Svcs Funds China Region Opportunity Fund
|
Registered investment company
|
8,233 | ||||||||||||||||||
Value Line Inc Fund
|
Registered investment company
|
18,985 | ||||||||||||||||||
Value Line Small Cap Growth Fund
|
Registered investment company
|
9,805 | ||||||||||||||||||
Van Eck Funds Intl Inv
|
Registered investment company
|
174,927 | ||||||||||||||||||
Van Eck Global Hard Ast CL A
|
Registered investment company
|
22,206 | ||||||||||||||||||
Vanguard Asset Allocation Fund Inc US Value Fund
|
Registered investment company
|
3,360 | ||||||||||||||||||
Vanguard Balanced Index Fund
|
Registered investment company
|
7,019 | ||||||||||||||||||
Vanguard Bond Index Fund
|
Registered investment company
|
59,903 | ||||||||||||||||||
Vanguard Bond Index Fund Inc Inter Term Portfolio Fund
|
Registered investment company
|
122,610 | ||||||||||||||||||
Vanguard Bond Index Fund Inc Short Term Portfolio Fund
|
Registered investment company
|
145,284 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Vanguard Developed Markets Index Fund
|
Registered investment company
|
49,323 | ||||||||||||||||||
Vanguard Equity Inc Fund
|
Registered investment company
|
7,244 | ||||||||||||||||||
Vanguard Emerging Markets Stock Index Fund
|
Registered investment company
|
350,541 | ||||||||||||||||||
Vanguard Explorer Fund
|
Registered investment company
|
9,497 | ||||||||||||||||||
Vanguard Fenway Funds Prime Cap Core Fund
|
Registered investment company
|
48,436 | ||||||||||||||||||
Vanguard Fixed Income Secs Fund Inc GNMA Portfolio
|
Registered investment company
|
345,731 | ||||||||||||||||||
Vanguard Fixed Income Secs Fund Inc Inter-term Invt Grade
|
Registered investment company
|
16,320 | ||||||||||||||||||
Vanguard Fixed Income Secs Fund Inc Long-term Invt Grade Fund
|
Registered investment company
|
22,517 | ||||||||||||||||||
Vanguard Fxd Inc Secs Fund Inflation Protected Fund
|
Registered investment company
|
42,978 | ||||||||||||||||||
Vanguard Fxd Inc Secs Fund Inc Short Term US Treas Portfolio
|
Registered investment company
|
2,036 | ||||||||||||||||||
Vanguard Growth Index Fund
|
Registered investment company
|
33,572 | ||||||||||||||||||
Vanguard Horizon Global Equity Fund
|
Registered investment company
|
35,604 | ||||||||||||||||||
Vanguard Index Tr 500 Portfolio Fund
|
Registered investment company
|
169,427 | ||||||||||||||||||
Vanguard Index Tr Extd Mkt Fund
|
Registered investment company
|
21,414 | ||||||||||||||||||
Vanguard Index Tr Mid Capitalization Stock Fund
|
Registered investment company
|
57,735 | ||||||||||||||||||
Vanguard Index Tr Small Cap Growth Portfolio
|
Registered investment company
|
239,657 | ||||||||||||||||||
Vanguard International Equity Index Fund Inc European Portfolio
|
Registered investment company
|
12,210 | ||||||||||||||||||
Vanguard International Value Fund
|
Registered investment company
|
36,736 | ||||||||||||||||||
Vanguard Pacific Stk Index Fund
|
Registered investment company
|
6,827 | ||||||||||||||||||
Vanguard Short Term Invt Grade Inv
|
Registered investment company
|
137,021 | ||||||||||||||||||
Vanguard Small Cap Index Fund
|
Registered investment company
|
21,679 | ||||||||||||||||||
Vanguard Small Cap Value Index Fund
|
Registered investment company
|
15,172 | ||||||||||||||||||
Vanguard Specialized Portfolios Dividend Growth
|
Registered investment company
|
85,761 | ||||||||||||||||||
Vanguard Specialized Portfolios Energy Fund
|
Registered investment company
|
437,837 | ||||||||||||||||||
Vanguard Specialized Portfolios Healthcare Fund
|
Registered investment company
|
94,350 | ||||||||||||||||||
Vanguard Specialized Portfolios Precious Metals Fund
|
Registered investment company
|
89,059 | ||||||||||||||||||
Vanguard Specialized Portfolios Reit Index Fund
|
Registered investment company
|
12,629 | ||||||||||||||||||
Vanguard Star Fund
|
Registered investment company
|
36,487 | ||||||||||||||||||
Vanguard Total Intl Stk Index Fund
|
Registered investment company
|
286,805 | ||||||||||||||||||
Vanguard Total Stk Mkt Index Fund
|
Registered investment company
|
523,544 | ||||||||||||||||||
Vanguard Value Index Fund
|
Registered investment company
|
27,054 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
|||||||||||||
Vanguard Wellesley Inc Fund
|
Registered investment company
|
107,785 | ||||||||||||||||||
Vanguard Wellington Fund
|
Registered investment company
|
84,549 | ||||||||||||||||||
Vanguard World Fund Intl Growth Fund
|
Registered investment company
|
36,032 | ||||||||||||||||||
Virtus Insight Tr Emerging Mkts Opportunities Fund
|
Registered investment company
|
26,665 | ||||||||||||||||||
Walthausen Small Cap Value
|
Registered investment company
|
3,141 | ||||||||||||||||||
Wasatch Emerging Markets Small Cap Fund
|
Registered investment company
|
4,845 | ||||||||||||||||||
Wasatch Small Cap Growth Fund
|
Registered investment company
|
67,136 | ||||||||||||||||||
Weitz Partners Value Fund
|
Registered investment company
|
42,713 | ||||||||||||||||||
Weitz Fund Value Fund
|
Registered investment company
|
33,019 | ||||||||||||||||||
Wells Fargo Fds Tr Advantage Asia Pac Fund
|
Registered investment company
|
27,490 | ||||||||||||||||||
Wells Fargo Fuds Adv Emerging Markets Equity
|
Registered investment company
|
7,856 | ||||||||||||||||||
Wells Fargo Adv S/C Disc-Inv
|
Registered investment company
|
1,212 | ||||||||||||||||||
Wells Fargo Fds C&B Large Cap Value Fund
|
Registered investment company
|
5,753 | ||||||||||||||||||
Wells Fargo Fds C&B Mid Cap Value Fund
|
Registered investment company
|
12,558 | ||||||||||||||||||
Wells Fargo Funds Tr Advantage Growth Fund
|
Registered investment company
|
50,691 | ||||||||||||||||||
Wells Fargo Funds Tr Advantage Special Mid Cap Fund
|
Registered investment company
|
28,040 | ||||||||||||||||||
Wells Fargo Funds Tr Advantage Short Term High Yield Bond Fund
|
Registered investment company
|
1,289 | ||||||||||||||||||
Well Fargo Funds Large Co Value Inv
|
Registered investment company
|
13,032 | ||||||||||||||||||
Westcore Plus Bond Fund
|
Registered investment company
|
137,112 | ||||||||||||||||||
Westcore Tr Intl Small Cap Fund
|
Registered investment company
|
1,061 | ||||||||||||||||||
Wexford Tr Muhlenkamp Fund
|
Registered investment company
|
24,524 | ||||||||||||||||||
William Blair Growth Fund
|
Registered investment company
|
36,177 | ||||||||||||||||||
William Blair International Growth Fund
|
Registered investment company
|
77,414 | ||||||||||||||||||
Wilshire Target Funds Large Co Growth Fund
|
Registered investment company
|
43,222 | ||||||||||||||||||
Wintergreen Fund Inc Com Fund
|
Registered investment company
|
8,892 | ||||||||||||||||||
World Funds Inc New Third Millennium Russia Fund
|
Registered investment company
|
1,160 | ||||||||||||||||||
Wright Managed Income Tr Current Income Fund
|
Registered investment company
|
55,650 | ||||||||||||||||||
Yacktman Fund
|
Registered investment company
|
198,714 | ||||||||||||||||||
Yacktman Fund Inc Focused
|
Registered investment company
|
64,504 | ||||||||||||||||||
Total registered investment companies
|
40,747,116 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
||||||||||||||||||
* |
NIKE, Inc., Class B Common Stock
|
Common stock
|
441,550,034 | ||||||||||||||||||||||
Collective Trust Short-Term Investment Fund
|
Collective trust fund
|
396,835 | |||||||||||||||||||||||
* |
NT Collective Aggregate Bond Index Fund
|
Collective trust fund
|
119,539,339 | ||||||||||||||||||||||
* |
NT Collective All Country World Ex Fund
|
Collective trust fund
|
161,526,571 | ||||||||||||||||||||||
* |
NT Collective Govt STIF
|
Collective trust fund
|
7,665 | ||||||||||||||||||||||
* |
NT Collective Russell 2000 Equity Index Fund
|
Collective trust fund
|
143,241,224 | ||||||||||||||||||||||
* |
NT Collective S&P 500 Equity Index Fund
|
Collective trust fund
|
236,689,806 | ||||||||||||||||||||||
* |
Schwab Stable Value Fund
|
Collective trust fund
|
101,758,071 | ||||||||||||||||||||||
Total collective trust funds
|
763,159,511 | ||||||||||||||||||||||||
Total participant directed investments
|
1,245,456,661 | ||||||||||||||||||||||||
Nonparticipant directed
|
|||||||||||||||||||||||||
MFC IPATH Dow Jones - UBS Commodity Index Total Return
|
Registered investment company
|
28,105,743 | 36,484,418 | ||||||||||||||||||||||
* |
NT Collective Aggregate Bond Index Fund
|
Collective trust fund
|
44,609,883 | 60,749,278 | |||||||||||||||||||||
* |
NT Collective Global Real Estate Index Fund
|
Collective trust fund
|
19,518,147 | 28,487,838 | |||||||||||||||||||||
* |
NT Collective International Small Cap Index Fund
|
Collective trust fund
|
23,767,890 | 33,907,410 | |||||||||||||||||||||
* |
NT Collective MSCI ACWI US Index Fund
|
Collective trust fund
|
44,504,663 | 55,794,460 | |||||||||||||||||||||
* |
NT Collective S&P 400 Equity Index Fund
|
Collective trust fund
|
20,466,770 | 29,381,530 | |||||||||||||||||||||
* |
NT Collective Russell 2000 Equity Index Fund
|
Collective trust fund
|
20,967,233 | 28,974,547 | |||||||||||||||||||||
* |
NT Collective S&P 500 Equity Index Fund
|
Collective trust fund
|
82,228,354 | 117,000,195 | |||||||||||||||||||||
* |
NTGI Collective Trust Government Short-term Investment Fund
|
Collective trust fund
|
3,532,716 | 3,532,716 | |||||||||||||||||||||
* |
NT Collective World Government Bond Index Fund
|
Collective trust fund
|
33,195,851 | 37,442,766 | |||||||||||||||||||||
Total collective trust funds
|
292,791,507 | 395,270,740 | |||||||||||||||||||||||
MOVE Inc
|
Common stock
|
- | 1,440 | ||||||||||||||||||||||
Accellent Inc
|
Corporate bond
|
8.375 | 2017 |
FEB
|
275,000 | 276,061 | 292,875 | ||||||||||||||||||
Affinion Group Inc Sr Sub Nt
|
Corporate bond
|
11.500 | 2015 |
OCT
|
325,000 | 344,187 | 338,000 | ||||||||||||||||||
Aircastle Ltd
|
Corporate bond
|
9.750 | 2018 |
AUG
|
50,000 | 49,323 | 56,375 | ||||||||||||||||||
AK Stl Corp Sr Nt
|
Corporate bond
|
7.625 | 2020 |
MAY
|
325,000 | 322,968 | 338,000 | ||||||||||||||||||
Alere Inc Sr Nt
|
Corporate bond
|
8.625 | 2018 |
OCT
|
350,000 | 358,844 | 368,375 | ||||||||||||||||||
American Airlines Inc
|
Corporate bond
|
13.000 | 2016 |
AUG
|
302,309 | 343,373 | 352,946 | ||||||||||||||||||
American Petroleum Tan
|
Corporate bond
|
10.250 | 2015 |
MAY
|
203,000 | 201,745 | 215,688 | ||||||||||||||||||
American Renal Hldgs Inc Sr Secd Nt
|
Corporate bond
|
8.375 | 2018 |
MAY
|
150,000 | 148,920 | 156,750 | ||||||||||||||||||
Amern Stores Co
|
Corporate bond
|
7.900 | 2017 |
MAY
|
75,000 | 73,500 | 74,437 | ||||||||||||||||||
Angiotech Pharmaceuticals
|
Foreign bond
|
9.110 | 2013 |
DEC
|
175,000 | 175,000 | 175,000 | ||||||||||||||||||
Apria Healthcare
|
Corporate bond
|
11.250 | 2014 |
NOV
|
175,000 | 169,838 | 184,844 | ||||||||||||||||||
Apria Healthcare
|
Corporate bond
|
12.375 | 2014 |
NOV
|
200,000 | 211,568 | 213,000 | ||||||||||||||||||
Berry Plastics
|
Corporate bond
|
9.500 | 2018 |
MAY
|
150,000 | 145,125 | 152,625 | ||||||||||||||||||
Berry Plastics Hldg Corp
|
Corporate bond
|
Variable
|
2015 |
FEB
|
275,000 | 246,737 | 272,250 | ||||||||||||||||||
Bon Ton Dept Stores Inc Sr Nt
|
Corporate bond
|
10.250 | 2014 |
MAR
|
375,000 | 372,547 | 381,563 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
||||||||||||||||||
Cablevision Sys
|
Corporate bond
|
8.625 | 2017 |
SEP
|
200,000 | 197,192 | 225,500 | ||||||||||||||||||
Capitalsource Inc
|
Corporate bond
|
12.750 | 2014 |
JULY
|
250,000 | 292,812 | 301,875 | ||||||||||||||||||
Catalina Marketing
|
Corporate bond
|
10.500 | 2015 |
OCT
|
200,000 | 208,906 | 213,000 | ||||||||||||||||||
CCO Hldgs LLC
|
Corporate bond
|
6.500 | 2021 |
APR
|
125,000 | 125,000 | 123,125 | ||||||||||||||||||
CCO Hldgs LLC
|
Corporate bond
|
7.875 | 2018 |
APR
|
225,000 | 225,000 | 238,500 | ||||||||||||||||||
Chrysler Group LLC
|
Corporate bond
|
8.250 | 2021 |
JUN
|
500,000 | 501,313 | 498,750 | ||||||||||||||||||
CKE Restaurants
|
Corporate bond
|
11.375 | 2018 |
JULY
|
225,000 | 246,500 | 246,375 | ||||||||||||||||||
CR Accep Corp Mich
|
Corporate bond
|
9.125 | 2017 |
FEB
|
175,000 | 172,994 | 189,875 | ||||||||||||||||||
CSC Hldgs LLC
|
Corporate bond
|
8.625 | 2019 |
FEB
|
225,000 | 214,191 | 259,312 | ||||||||||||||||||
Compagnie Generale
|
Foreign bond
|
9.500 | 2016 |
MAY
|
300,000 | 310,500 | 332,250 | ||||||||||||||||||
Dana Hldg Corp
|
Corporate bond
|
6.750 | 2021 |
FEB
|
350,000 | 350,000 | 350,000 | ||||||||||||||||||
Dave & Busters Inc
|
Corporate bond
|
11.000 | 2018 |
JUN
|
125,000 | 125,000 | 136,250 | ||||||||||||||||||
Davita Inc
|
Corporate bond
|
6.625 | 2020 |
NOV
|
200,000 | 200,000 | 205,000 | ||||||||||||||||||
Delta
|
Corporate bond
|
6.750 | 2015 |
NOV
|
350,000 | 346,875 | 332,500 | ||||||||||||||||||
Dupont Fabros Technology LP
|
Corporate bond
|
8.500 | 2017 |
DEC
|
100,000 | 100,000 | 110,125 | ||||||||||||||||||
Echostar Dbs Corp
|
Corporate bond
|
7.750 | 2015 |
MAY
|
325,000 | 309,562 | 354,250 | ||||||||||||||||||
Elan Fin PLC
|
Foreign bond
|
8.750 | 2016 |
OCT
|
500,000 | 492,830 | 535,000 | ||||||||||||||||||
El Pollo Loco Inc
|
Corporate bond
|
11.750 | 2012 |
DEC
|
225,000 | 222,375 | 232,031 | ||||||||||||||||||
Encore Acqstn Co
|
Corporate bond
|
9.500 | 2016 |
MAY
|
275,000 | 296,656 | 308,687 | ||||||||||||||||||
Energy Transfer
|
Corporate bond
|
7.500 | 2020 |
OCT
|
275,000 | 288,063 | 299,750 | ||||||||||||||||||
Energy XXI Gulf Coast Inc
|
Corporate bond
|
9.250 | 2017 |
DEC
|
175,000 | 175,000 | 188,562 | ||||||||||||||||||
Energy Solutions
|
Corporate bond
|
10.750 | 2018 |
AUG
|
325,000 | 326,881 | 367,442 | ||||||||||||||||||
Equinix Inc
|
Corporate bond
|
8.125 | 2018 |
MAR
|
150,000 | 150,000 | 162,000 | ||||||||||||||||||
Exide Technologies
|
Corporate bond
|
8.625 | 2018 |
FEB
|
275,000 | 275,000 | 292,188 | ||||||||||||||||||
Express LLC
|
Corporate bond
|
8.750 | 2018 |
MAR
|
125,000 | 124,074 | 135,625 | ||||||||||||||||||
FGI Holding Co Sr Pik Nt
|
Corporate bond
|
11.250 | 2015 |
OCT
|
264,650 | 238,750 | 269,943 | ||||||||||||||||||
FGI Oper Co Inc
|
Corporate bond
|
10.250 | 2015 |
AUG
|
100,000 | 97,827 | 107,750 | ||||||||||||||||||
FID Natl
|
Corporate bond
|
7.875 | 2020 |
JULY
|
150,000 | 150,000 | 165,375 | ||||||||||||||||||
Gen Maritime Corp
|
Foreign bond
|
12.000 | 2017 |
NOV
|
225,000 | 210,469 | 198,000 | ||||||||||||||||||
Geoeye Inc
|
Corporate bond
|
8.625 | 2016 |
OCT
|
150,000 | 150,000 | 159,375 | ||||||||||||||||||
Global Crossing
|
Foreign bond
|
12.000 | 2015 |
SEP
|
300,000 | 342,000 | 350,250 | ||||||||||||||||||
Grief Inc Sr Nt
|
Corporate bond
|
6.750 | 2017 |
FEB
|
325,000 | 303,875 | 345,312 | ||||||||||||||||||
H & E Equip Svcs Inc
|
Corporate bond
|
8.375 | 2016 |
JULY
|
250,000 | 250,000 | 262,500 | ||||||||||||||||||
Harland Clarke
|
Corporate bond
|
9.500 | 2015 |
MAY
|
350,000 | 339,625 | 332,500 | ||||||||||||||||||
HCA Inc
|
Corporate bond
|
9.875 | 2017 |
FEB
|
175,000 | 169,178 | 195,781 | ||||||||||||||||||
Healthnet Inc Sr Nt
|
Corporate bond
|
6.375 | 2017 |
JUN
|
350,000 | 286,250 | 367,062 | ||||||||||||||||||
Holly Energy Mand Exc
|
Corporate bond
|
8.250 | 2018 |
MAR
|
100,000 | 100,000 | 105,500 | ||||||||||||||||||
Holly Energy Partners LP
|
Corporate bond
|
6.250 | 2015 |
MAR
|
175,000 | 160,344 | 175,000 | ||||||||||||||||||
ICAHN Enterprises
|
Corporate bond
|
7.750 | 2016 |
JAN
|
500,000 | 491,068 | 513,750 | ||||||||||||||||||
Integra Telecom
|
Corporate bond
|
10.750 | 2016 |
APR
|
225,000 | 233,312 | 236,250 | ||||||||||||||||||
Intelestat Jackson Hldgs LTD
|
Foreign bond
|
9.500 | 2016 |
JUN
|
200,000 | 199,000 | 210,000 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
||||||||||||||||||
Intl Lease Fin
|
Corporate bond
|
8.250 | 2020 |
DEC
|
75,000 | 74,370 | 84,187 | ||||||||||||||||||
Ipayment Inc
|
Corporate bond
|
9.750 | 2014 |
MAY
|
350,000 | 358,750 | 358,750 | ||||||||||||||||||
ITC Deltacom Inc
|
Corporate bond
|
10.500 | 2016 |
APR
|
175,000 | 192,719 | 189,000 | ||||||||||||||||||
Kemet Corp
|
Corporate bond
|
10.500 | 2018 |
MAY
|
375,000 | 396,464 | 422,813 | ||||||||||||||||||
Key Energy Svcs
|
Corporate bond
|
6.750 | 2021 |
MAR
|
100,000 | 100,000 | 101,250 | ||||||||||||||||||
Kindred Healthcare Inc
|
Corporate bond
|
8.250 | 2019 |
JUN
|
75,000 | 75,000 | 75,656 | ||||||||||||||||||
Landrys
|
Corporate bond
|
11.625 | 2015 |
DEC
|
225,000 | 236,406 | 244,125 | ||||||||||||||||||
Lantheus Med Imaging Inc Sr Nt
|
Corporate bond
|
9.750 | 2017 |
MAY
|
275,000 | 275,375 | 281,875 | ||||||||||||||||||
Leucadia Natl Corp
|
Corporate bond
|
7.125 | 2017 |
MAR
|
325,000 | 324,031 | 342,062 | ||||||||||||||||||
Limited Brands Inc
|
Corporate bond
|
6.625 | 2021 |
APR
|
175,000 | 175,000 | 182,438 | ||||||||||||||||||
Linn Energy LLC
|
Corporate bond
|
11.750 | 2017 |
MAY
|
64,000 | 61,306 | 76,480 | ||||||||||||||||||
Linn Energy LLC Sr Nt
|
Corporate bond
|
9.875 | 2018 |
JULY
|
113,000 | 111,305 | 128,255 | ||||||||||||||||||
Lyondell Chem Co
|
Corporate bond
|
11.000 | 2018 |
MAY
|
75,000 | 79,500 | 84,469 | ||||||||||||||||||
Marquette Transn
|
Corporate bond
|
10.875 | 2017 |
JAN
|
250,000 | 260,625 | 258,750 | ||||||||||||||||||
Metals USA Inc
|
Corporate bond
|
11.125 | 2015 |
DEC
|
150,000 | 159,000 | 158,625 | ||||||||||||||||||
Metropcs Wireless
|
Corporate bond
|
7.875 | 2018 |
SEP
|
150,000 | 148,916 | 161,437 | ||||||||||||||||||
Momentive
|
Corporate bond
|
12.500 | 2014 |
JUN
|
225,000 | 249,187 | 247,500 | ||||||||||||||||||
National Money Mart Co
|
Foreign bond
|
10.375 | 2016 |
DEC
|
375,000 | 383,259 | 418,594 | ||||||||||||||||||
Newmarket Corp
|
Corporate bond
|
7.125 | 2016 |
DEC
|
150,000 | 150,000 | 157,134 | ||||||||||||||||||
Niska Gas Storage
|
Corporate bond
|
8.875 | 2018 |
MAR
|
200,000 | 201,591 | 215,000 | ||||||||||||||||||
NRG Energy Inc Sr Nt
|
Corporate bond
|
8.500 | 2019 |
JUN
|
100,000 | 98,348 | 103,500 | ||||||||||||||||||
Omega Healthcare Invs Inc Sr Nt
|
Corporate bond
|
7.500 | 2020 |
FEB
|
100,000 | 98,278 | 106,500 | ||||||||||||||||||
Penn VA Res
|
Corporate bond
|
7.250 | 2019 |
APR
|
125,000 | 125,000 | 125,000 | ||||||||||||||||||
Perry Ellis Intl
|
Corporate bond
|
7.875 | 2019 |
APR
|
125,000 | 125,000 | 130,625 | ||||||||||||||||||
Petrohawk Energy Corp Sr Nt
|
Corporate bond
|
10.500 | 2014 |
AUG
|
75,000 | 68,976 | 85,125 | ||||||||||||||||||
Petrohawk Energy Corp
|
Corporate bond
|
7.875 | 2015 |
JUN
|
50,000 | 50,688 | 52,750 | ||||||||||||||||||
Phibro Animal Hlth
|
Corporate bond
|
9.250 | 2018 |
JULY
|
175,000 | 172,599 | 188,562 | ||||||||||||||||||
Plains Expl & Prodtn Co Sr Nt
|
Corporate bond
|
10.000 | 2016 |
MAR
|
150,000 | 138,560 | 169,500 | ||||||||||||||||||
Prestige Brands Inc
|
Corporate bond
|
8.250 | 2018 |
APR
|
75,000 | 73,923 | 80,063 | ||||||||||||||||||
Prestige Brands Inc
|
Corporate bond
|
8.250 | 2018 |
APR
|
75,000 | 76,500 | 80,062 | ||||||||||||||||||
PVTPL Aleris Intl Inc Sr Nt
|
Corporate bond
|
7.625 | 2018 |
FEB
|
125,000 | 125,000 | 130,156 | ||||||||||||||||||
PVTPL Allen Sys Group Inc Sr Secd 2nd Lien
|
Corporate bond
|
10.500 | 2016 |
NOV
|
100,000 | 100,000 | 103,000 | ||||||||||||||||||
PVTPL Bankrate Inc Sr Secd Nt
|
Corporate bond
|
11.750 | 2015 |
JULY
|
300,000 | 333,187 | 341,625 | ||||||||||||||||||
PVTPL Block Communications Inc Sr Nt
|
Corporate bond
|
8.250 | 2015 |
DEC
|
150,000 | 150,375 | 154,125 | ||||||||||||||||||
PVTPL Brigham Expl Co Sr Nt
|
Corporate bond
|
6.875 | 2019 |
JUN
|
100,000 | 100,000 | 100,500 | ||||||||||||||||||
PVTPL Calfrac Hldgs LP GTD Sr Nt
|
Corporate bond
|
7.500 | 2020 |
DEC
|
150,000 | 150,000 | 155,250 | ||||||||||||||||||
PVTPL Case New Holland Inc Sr Nt
|
Corporate bond
|
7.875 | 2017 |
DEC
|
150,000 | 148,980 | 166,875 | ||||||||||||||||||
PVTPL CDRT merger Sub Inc Sr Nt
|
Corporate bond
|
8.125 | 2019 |
JUN
|
125,000 | 125,000 | 126,094 | ||||||||||||||||||
PVTPL CEVA Group PLC 1st lien Sr Secd Nt
|
Foreign bond
|
8.375 | 2017 |
DEC
|
175,000 | 175,000 | 182,875 | ||||||||||||||||||
PVTPL Chemtura Corp Sr Nt
|
Corporate bond
|
7.875 | 2018 |
SEP
|
150,000 | 148,904 | 162,750 | ||||||||||||||||||
PVTPL CNO Finl Group Inc Sr Secd Nt
|
Corporate bond
|
9.000 | 2018 |
JAN
|
200,000 | 200,375 | 216,000 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
||||||||||||||||||
PVTPL C&S Group Enterprises LLC Sr. Secd Nt
|
Corporate bond
|
8.375 | 2017 |
MAY
|
275,000 | 271,270 | 283,250 | ||||||||||||||||||
PVTPL Colbs McKninnon Corp NY Sr Sub Nt
|
Corporate bond
|
7.875 | 2019 |
FEB
|
125,000 | 123,181 | 129,375 | ||||||||||||||||||
PVTPL Cr Accep Corp Mich Sr Secd Nt
|
Corporate bond
|
9.125 | 2017 |
FEB
|
125,000 | 132,500 | 135,312 | ||||||||||||||||||
PVTPL Cricket Communications Inc GTD Sr Nt
|
Corporate bond
|
7.750 | 2020 |
OCT
|
100,000 | 99,193 | 98,625 | ||||||||||||||||||
PVTPL Deluxe Corp Sr Nt
|
Corporate bond
|
7.000 | 2019 |
MAR
|
175,000 | 175,000 | 175,875 | ||||||||||||||||||
PVTPL Direct Buy Holdgs Inc Sr Secd Nt
|
Corporate bond
|
12.000 | 2017 |
FEB
|
125,000 | 118,750 | 55,000 | ||||||||||||||||||
PVTPL EH Hldg Corp Sr Nt
|
Corporate bond
|
7.625 | 2021 |
JUN
|
100,000 | 100,000 | 102,250 | ||||||||||||||||||
PVTPL EH Hldg Corp Sr Secd Nt
|
Corporate bond
|
6.500 | 2019 |
JUN
|
75,000 | 75,000 | 75,844 | ||||||||||||||||||
PVTPL Entmnt PPTYS
|
Corporate bond
|
7.750 | 2020 |
JUL
|
200,000 | 196,580 | 220,000 | ||||||||||||||||||
PVTPL Essar Stl Algoma Sr Secd Nt
|
Foreign bond
|
9.375 | 2015 |
MAR
|
325,000 | 321,656 | 328,656 | ||||||||||||||||||
PVTPL FTI Consulting Inc Sr Nt
|
Corporate bond
|
6.750 | 2020 |
OCT
|
250,000 | 250,000 | 255,000 | ||||||||||||||||||
PVTPL Genesis Energy LP
|
Corporate bond
|
7.875 | 2018 |
DEC
|
150,000 | 150,000 | 150,000 | ||||||||||||||||||
PVTPL Great Lakes Dredge & Dock Corp
|
Corporate bond
|
7.125 | 2019 |
FEB
|
125,000 | 125,000 | 127,812 | ||||||||||||||||||
PVTPL Griffon Corp Sr Nt
|
Corporate bond
|
7.125 | 2018 |
APR
|
175,000 | 175,000 | 178,500 | ||||||||||||||||||
PVTPL Huntington Ingalls Inds Inc Sr Nt
|
Corporate bond
|
6.875 | 2018 |
MAR
|
375,000 | 375,000 | 390,938 | ||||||||||||||||||
PVTPL Intelsat Jackson Hldgs S A Sr Nt
|
Foreign bond
|
7.250 | 2019 |
APR
|
225,000 | 225,000 | 226,687 | ||||||||||||||||||
PVTPL Ipayment Inc Sr Nt
|
Corporate bond
|
10.250 | 2018 |
MAY
|
375,000 | 375,000 | 379,687 | ||||||||||||||||||
PVTPL Isle Capri Casinos Inc Sr Nt
|
Corporate bond
|
7.750 | 2019 |
MAR
|
150,000 | 148,896 | 152,438 | ||||||||||||||||||
PVTPL Kennedy Wilson Inc Sr Nt
|
Corporate bond
|
8.750 | 2019 |
APR
|
200,000 | 200,121 | 202,500 | ||||||||||||||||||
PVTPL Landry's Restaurants Inc Sr Secd Nt
|
Corporate bond
|
11.625 | 2015 |
DEC
|
125,000 | 130,313 | 135,625 | ||||||||||||||||||
PVTPL LBI Escrow Corp Sr Nt
|
Corporate bond
|
8.000 | 2017 |
NOV
|
223,000 | 233,394 | 250,875 | ||||||||||||||||||
PVTPL Lifepoint Hosps Inc Sr Nt
|
Corporate bond
|
6.625 | 2020 |
OCT
|
150,000 | 150,000 | 155,625 | ||||||||||||||||||
PVTPL Linn Energy LLC
|
Corporate bond
|
7.625 | 2019 |
MAY
|
175,000 | 173,656 | 175,000 | ||||||||||||||||||
PVTPL Linn Energy LLC
|
Corporate bond
|
7.750 | 2021 |
FEB
|
50,000 | 49,132 | 52,750 | ||||||||||||||||||
PVTPL NRG Energy Inc
|
Corporate bond
|
7.875 | 2021 |
MAY
|
100,000 | 100,000 | 100,125 | ||||||||||||||||||
PVTPL NRG Energy Inc Sr Nt
|
Corporate bond
|
7.625 | 2018 |
JAN
|
150,000 | 150,000 | 151,500 | ||||||||||||||||||
PVTPL Oil Sts Intl Inc Sr Nt
|
Corporate bond
|
6.500 | 2019 |
JUN
|
125,000 | 125,000 | 125,781 | ||||||||||||||||||
PVTPL Oxea Fin & CY S C A Sr Secd Nt
|
Foreign bond
|
9.500 | 2017 |
JUL
|
175,000 | 175,000 | 193,594 | ||||||||||||||||||
PVTPL Radioshack Corp Sr Nt
|
Corporate bond
|
6.750 | 2019 |
MAY
|
50,000 | 49,617 | 49,875 | ||||||||||||||||||
PVTPL Reliance Inter Holdings LP Sr Nt
|
Foreign bond
|
9.500 | 2019 |
DEC
|
200,000 | 190,596 | 221,750 | ||||||||||||||||||
PVTPL Reynolds Group Issuer Inc Sr Secd Nt
|
Corporate bond
|
- | 2019 |
APR
|
325,000 | 325,000 | 338,000 | ||||||||||||||||||
PVTPL Rotech Healthcare Inc Sr Secd Nt
|
Corporate bond
|
10.500 | 2018 |
MAR
|
150,000 | 148,460 | 150,375 | ||||||||||||||||||
PVTPL Sears Hldgs Corp Sr Secd Nt
|
Corporate bond
|
6.625 | 2018 |
OCT
|
150,000 | 150,000 | 138,000 | ||||||||||||||||||
PVTPL Seagate HDD Cayman GTD Sr Nt
|
Foreign bond
|
7.750 | 2018 |
DEC
|
350,000 | 350,000 | 368,375 | ||||||||||||||||||
PVTPL Seagate HDD Cayman Sr Nt
|
Foreign bond
|
7.000 | 2021 |
NOV
|
200,000 | 200,000 | 203,000 | ||||||||||||||||||
PVTPL Spectrum Brands Inc Sr Secd Nt
|
Corporate bond
|
9.500 | 2018 |
JUN
|
275,000 | 284,359 | 307,313 | ||||||||||||||||||
PVTPL Stewart Enterprises Inc Sr Nt
|
Corporate bond
|
6.500 | 2019 |
APR
|
125,000 | 125,000 | 126,250 | ||||||||||||||||||
PVTPL Thompson Creek Metals Co Inc Sr Nt
|
Foreign bond
|
7.375 | 2018 |
JUN
|
100,000 | 100,000 | 101,125 | ||||||||||||||||||
PVTPL Wind Acqstn Fin S A US$ Sr Secd Nt
|
Foreign bond
|
7.250 | 2018 |
FEB
|
175,000 | 173,815 | 185,937 | ||||||||||||||||||
PVTPL Xerium Technologies Inc
|
Corporate bond
|
8.875 | 2018 |
JUN
|
150,000 | 150,000 | 149,063 |
(a) |
(b)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(c)
Description of Investment
|
(c)
Rate of Interest
|
(c)
Date of
Maturity
Year Month
|
(c)
Par
Value
|
(d)
Cost (1)
|
(e)
Current
Value
|
||||||||||||||||||
Quebecor Media Inc
|
Foreign bond
|
7.750 | 2016 |
MAR
|
400,000 | 350,000 | 415,000 | ||||||||||||||||||
Regency Energy
|
Corporate bond
|
6.500 | 2021 |
JUL
|
225,000 | 225,000 | 226,125 | ||||||||||||||||||
Regency Energy
|
Corporate bond
|
6.875 | 2018 |
DEC
|
125,000 | 125,000 | 131,563 | ||||||||||||||||||
Ryerson Inc Sr Secd Nt
|
Corporate bond
|
12.000 | 2015 |
NOV
|
275,000 | 290,813 | 296,313 | ||||||||||||||||||
SABRA Healthcare Ltd Partnership
|
Corporate bond
|
8.125 | 2018 |
NOV
|
75,000 | 75,000 | 76,688 | ||||||||||||||||||
SBA
|
Corporate bond
|
8.000 | 2016 |
AUG
|
175,000 | 173,828 | 190,094 | ||||||||||||||||||
Servicemaster Co
|
Corporate bond
|
10.750 | 2015 |
JULY
|
200,000 | 206,500 | 211,500 | ||||||||||||||||||
Severstal Colbs
|
Corporate bond
|
10.250 | 2018 |
FEB
|
200,000 | 202,010 | 222,000 | ||||||||||||||||||
Sheridan Group Inc
|
Corporate bond
|
12.500 | 2014 |
APR
|
175,000 | 164,500 | 167,344 | ||||||||||||||||||
Simmons Foods Inc
|
Corporate bond
|
10.500 | 2017 |
NOV
|
200,000 | 201,545 | 214,000 | ||||||||||||||||||
Spirit Aeorsystems
|
Corporate bond
|
6.750 | 2020 |
DEC
|
175,000 | 175,000 | 178,500 | ||||||||||||||||||
Squaretwo Finl
|
Corporate bond
|
11.625 | 2017 |
APR
|
225,000 | 208,875 | 232,031 | ||||||||||||||||||
Supervalue Inc
|
Corporate bond
|
8.000 | 2016 |
MAY
|
250,000 | 242,500 | 260,313 | ||||||||||||||||||
Stream Global Svcs
|
Corporate bond
|
11.250 | 2014 |
OCT
|
225,000 | 236,563 | 244,125 | ||||||||||||||||||
Tops Hldg Corp
|
Corporate bond
|
10.125 | 2015 |
OCT
|
200,000 | 199,068 | 213,750 | ||||||||||||||||||
Toys R Us Ppty Co
|
Corporate bond
|
10.750 | 2017 |
JULY
|
200,000 | 193,690 | 226,000 | ||||||||||||||||||
TPC Group LLC
|
Corporate bond
|
8.250 | 2017 |
OCT
|
150,000 | 149,025 | 160,500 | ||||||||||||||||||
Travelport LLC/Travelport Holdings Inc
|
Corporate bond
|
9.000 | 2016 |
MAR
|
75,000 | 75,000 | 65,813 | ||||||||||||||||||
Utd Rentals N. America
|
Corporate bond
|
9.250 | 2019 |
DEC
|
275,000 | 274,781 | 308,000 | ||||||||||||||||||
Utd STS STL Corp
|
Corporate bond
|
7.375 | 2020 |
APR
|
100,000 | 99,125 | 104,750 | ||||||||||||||||||
Vector Group Ltd
|
Corporate bond
|
11.000 | 2015 |
AUG
|
300,000 | 309,000 | 317,625 | ||||||||||||||||||
WCA Waste Corp
|
Corporate bond
|
9.250 | 2014 |
JUN
|
225,000 | 235,406 | 230,062 | ||||||||||||||||||
Wendys / Arbys
|
Corporate bond
|
10.000 | 2016 |
JULY
|
475,000 | 487,286 | 528,438 | ||||||||||||||||||
Whiting Pete Corp Sr Sub Nt
|
Corporate bond
|
6.500 | 2018 |
OCT
|
75,000 | 75,000 | 78,000 | ||||||||||||||||||
Windstream Corp
|
Corporate bond
|
7.875 | 2017 |
NOV
|
375,000 | 365,625 | 410,156 | ||||||||||||||||||
Total corporate and foreign bonds
|
32,746,284 | 34,410,762 | |||||||||||||||||||||||
Interest bearing cash
|
Cash
|
10,661 | |||||||||||||||||||||||
|
Total nonparticipant directed investments
|
$ | 353,643,534 | $ | 466,178,021 | ||||||||||||||||||||
|
Total investments
|
$ | 1,711,634,682 | ||||||||||||||||||||||
(a)
|
(c)
|
(d)
|
|||||||
Identity of Issue, Borrower,
|
(b)
|
Cost of
|
Proceeds of
|
||||||
Lessor or Similar Party
|
Description of Investment
|
Acquisitions
|
Dispositions
|
||||||
NIKE INC CL B CL B
|
Common stock
|
$ | 37,812,303 | $ | 22,823,591 | ||||
ABB LTD CHF
|
Common stock
|
115,014 | 118,440 | ||||||
ACCIONA SA EUR1
|
Common stock
|
16,597 | 16,486 | ||||||
ACCOR EUR3
|
Common stock
|
12,936 | 13,498 | ||||||
ACOM CO NPV
|
Common stock
|
26,142 | 25,554 | ||||||
ACS ACTIVIDADES CO EURO0.5
|
Common stock
|
59,490 | 58,778 | ||||||
ACTELION CHF0.50
|
Common stock
|
17,134 | 16,951 | ||||||
ADECCO SA CHF1
|
Common stock
|
40,488 | 41,894 | ||||||
ADIDAS AG NPV
|
Common stock
|
88,999 | 87,778 | ||||||
AEON CO LTD
|
Common stock
|
65,674 | 65,399 | ||||||
AEON CREDIT SERV
|
Common stock
|
24,272 | 24,002 | ||||||
AGGREKO GBP0.20
|
Common stock
|
49,850 | 51,244 | ||||||
AGL ENERGY LTD
|
Common stock
|
17,058 | 17,271 | ||||||
AGNICO EAGLE MINES COM
|
Common stock
|
33,774 | 33,944 | ||||||
AGRIUM INC
|
Common stock
|
29,178 | 29,443 | ||||||
AIR FRANCE - KLM
|
Common stock
|
21,530 | 21,562 | ||||||
AIR LIQUIDE(L) EUR5.50
|
Common stock
|
100,542 | 100,533 | ||||||
AISIN SEIKI CO
|
Common stock
|
46,048 | 44,671 | ||||||
AJINOMOTO CO INC
|
Common stock
|
65,941 | 65,038 | ||||||
ALFRESA HOLDINGS
|
Common stock
|
14,321 | 14,229 | ||||||
ALIMENTATION COUCH
|
Common stock
|
9,695 | 10,222 | ||||||
ALSTOM EUR7.0
|
Common stock
|
84,270 | 82,665 | ||||||
AMERICAN AIRLINES
|
Corporate bond
|
94,320 | 34,995 | ||||||
AMP LIMITED
|
Common stock
|
35,900 | 36,358 | ||||||
ANADARKO PETE CORP
|
Corporate bond
|
125,000 | 125,000 | ||||||
ANGLO AMERICAN
|
Common stock
|
156,611 | 157,833 | ||||||
ANHEUSER-BUSCH
|
Common stock
|
127,891 | 129,254 | ||||||
ANTOFAGASTA ORD GBP0.50
|
Common stock
|
11,813 | 12,311 | ||||||
AOZORA BANK NPV
|
Common stock
|
15,515 | 16,105 | ||||||
APRIA HEALTHCARE
|
Corporate bond
|
244,687 | 134,063 | ||||||
ARCELORMITTAL NPV
|
Common stock
|
73,783 | 74,499 | ||||||
ARM HLDGS ORD GBP0.0005
|
Common stock
|
51,072 | 52,054 | ||||||
ARYZTA AG CHF0.02
|
Common stock
|
38,545 | 38,654 | ||||||
ASAHI GLASS CO
|
Common stock
|
56,798 | 56,091 | ||||||
ASML HOLDING NEW
|
Common stock
|
56,195 | 56,027 | ||||||
ASSA ABLOY SER'B'NPV
|
Common stock
|
62,676 | 63,916 | ||||||
ASSIC GENERALI SPA EUR1
|
Common stock
|
74,615 | 74,552 | ||||||
ASSOCD BRIT FOODS ORD GBP0.0568
|
Common stock
|
20,745 | 21,156 | ||||||
ASX LTD
|
Common stock
|
21,465 | 22,065 | ||||||
ATHABASCA OIL SAND COM
|
Common stock
|
10,120 | 10,335 | ||||||
ATLANTIA S.P.A.
|
Common stock
|
19,330 | 19,031 | ||||||
ATLAS COPCO AB
|
Common stock
|
21,447 | 22,078 | ||||||
AUCKLAND INTL
|
Common stock
|
53,848 | 54,874 | ||||||
AUST & NZ BANK GRP
|
Common stock
|
140,028 | 143,305 | ||||||
AUTOGRILL SPA EUR0.52
|
Common stock
|
16,564 | 16,766 | ||||||
AUTONOMY CORP ORD GBP
|
Common stock
|
63,443 | 63,019 | ||||||
AXA ASIA PAC HLDS
|
Common stock
|
12,954 | 13,469 | ||||||
AXA EUR2.29
|
Common stock
|
78,328 | 77,929 | ||||||
BABCOCK INTL GROUP
|
Common stock
|
35,501 | 35,482 | ||||||
BAE SYSTEMS ORD GBP0.025
|
Common stock
|
65,112 | 65,224 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
BALL CORP
|
Corporate bond
|
100,000 | 98,250 | ||||||
BANCO SANTANDER EUR0.50
|
Common stock
|
11,457 | 11,168 | ||||||
BANK OF EAST ASIA HKD2.50
|
Common stock
|
33,027 | 33,052 | ||||||
BARRICK GOLD CORP COM
|
Common stock
|
116,065 | 117,657 | ||||||
BAYER AG
|
Common stock
|
146,172 | 143,844 | ||||||
BAYER MOTOREN WERK EUR1
|
Common stock
|
42,951 | 164,286 | ||||||
BBVA EUR0.49
|
Common stock
|
116,190 | 113,899 | ||||||
BCE INC
|
Common stock
|
23,893 | 24,084 | ||||||
BCO DE VALENCIA EUR0.25
|
Common stock
|
33,670 | 33,503 | ||||||
BCO ESPIRITO SANTO
|
Common stock
|
26,371 | 25,589 | ||||||
BEIERSDORF AG EUR1
|
Common stock
|
72,757 | 73,613 | ||||||
BELGACOM SA
|
Common stock
|
9,977 | 9,894 | ||||||
BERRY PLASTICS
|
Corporate bond
|
75,000 | 73,500 | ||||||
BG GROUP ORD GBP0.10
|
Common stock
|
157,243 | 156,144 | ||||||
BHP BILLITON PLC
|
Common stock
|
206,957 | 210,914 | ||||||
BIOMERIEUX
|
Common stock
|
14,276 | 14,263 | ||||||
BIOVAIL CORP COM
|
Common stock
|
10,292 | 10,313 | ||||||
BK LEUMI LE ISRAEL
|
Common stock
|
30,456 | 30,885 | ||||||
BK OF KYOTO LTD
|
Common stock
|
41,213 | 41,179 | ||||||
BK OF MONTREAL
|
Common stock
|
99,207 | 98,182 | ||||||
BK OF NOVA SCOTIA
|
Common stock
|
130,761 | 129,541 | ||||||
BK OF YOKOHAMA
|
Common stock
|
13,645 | 13,489 | ||||||
BLUE ACQSTN SUB
|
Corporate bond
|
75,000 | 77,937 | ||||||
BLUESCOPE STEEL
|
Common stock
|
10,924 | 11,255 | ||||||
BNP PARIBAS EUR2
|
Common stock
|
182,530 | 182,678 | ||||||
BOC HONG KONG HLDG
|
Common stock
|
49,215 | 49,342 | ||||||
BOMBARDIER INC
|
Common stock
|
16,753 | 17,426 | ||||||
BON-TON DEPT STORES INC
|
Corporate bond
|
421,719 | 51,000 | ||||||
BOUYGUES EUR1
|
Common stock
|
48,342 | 48,540 | ||||||
BRAMBLES LTD
|
Common stock
|
67,745 | 67,007 | ||||||
BRIDGESTONE CORP
|
Common stock
|
113,468 | 112,973 | ||||||
BRISA (AUTO-ESTRADA EUR1)
|
Common stock
|
44,317 | 43,314 | ||||||
BRITISH AMERICAN TOBACCO ORD GBP0.25
|
Common stock
|
118,079 | 117,183 | ||||||
BRITISH LAND CO ORD GBP0.25
|
Common stock
|
41,457 | 41,820 | ||||||
BROOKFIELD ASSET LIMITED VTG
|
Common stock
|
36,507 | 36,394 | ||||||
BROOKFIELD OFFICE PROPERTIES INC
|
Common stock
|
11,514 | 11,674 | ||||||
BT GROUP ORD GBP0.05
|
Common stock
|
32,489 | 32,739 | ||||||
BUNZL PLC ORD GBP0.32142857
|
Common stock
|
42,849 | 43,161 | ||||||
BUREAU VERITAS EUR0.12
|
Common stock
|
24,013 | 24,038 | ||||||
CAE INC COM NPV
|
Common stock
|
10,335 | 10,279 | ||||||
CAIRN ENERGY PLC ORD GBP0.006154
|
Common stock
|
72,234 | 73,322 | ||||||
CAMECO CORP COM NPV
|
Common stock
|
24,054 | 23,984 | ||||||
CAN PACIFIC RYS COM NPV
|
Common stock
|
28,188 | 28,100 | ||||||
CANADIAN IMP BANK COM
|
Common stock
|
71,650 | 70,959 | ||||||
CANADIAN OIL SANDS TRUST UNITS
|
Common stock
|
16,196 | 16,267 | ||||||
CANADIAN TIRE CORP
|
Common stock
|
10,644 | 10,728 | ||||||
CAP GEMINI EUR8
|
Common stock
|
88,127 | 86,669 | ||||||
CAPITA GROUP ORD GBP0.02066666
|
Common stock
|
9,556 | 9,396 | ||||||
CAPITAMALL TRUST NPV
|
Common stock
|
18,978 | 18,731 | ||||||
CARLSBERG SER'B'DKK20
|
Common stock
|
61,340 | 61,448 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
CARNIVAL PLC ORD USD
|
Common stock
|
22,103 | 22,581 | ||||||
CASINO GUICH-PERR EUR1.53
|
Common stock
|
14,693 | 14,534 | ||||||
CCO HLDGS LLC
|
Corporate bond
|
49,623 | 49,875 | ||||||
CDN NATL RAILWAYS COM
|
Common stock
|
77,626 | 77,250 | ||||||
CDN NATURAL RESOUR COMMON STK
|
Common stock
|
103,819 | 103,382 | ||||||
CDN UTILITIES CLASS A
|
Common stock
|
9,235 | 9,287 | ||||||
CELESIO AG NPV
|
Common stock
|
42,367 | 42,016 | ||||||
CELLCOM ISRAEL LTD
|
Common stock
|
13,329 | 13,681 | ||||||
CENOVUS ENERGY INC
|
Common stock
|
59,194 | 59,634 | ||||||
CENTRAL JAPAN RLWY
|
Common stock
|
100,712 | 99,931 | ||||||
CENTRICA ORD GBP0.061728395
|
Common stock
|
76,196 | 76,943 | ||||||
CGI GROUP INC
|
Common stock
|
12,295 | 12,257 | ||||||
CHC HELICOPTER
|
Corporate bond
|
98,737 | 101,000 | ||||||
CHES ENERGY CORP
|
Corporate bond
|
75,000 | 75,000 | ||||||
CHES ENERGY SR NT
|
Corporate bond
|
75,000 | 74,812 | ||||||
CHEUNG KONG HLDGS HKD0.50
|
Common stock
|
105,865 | 105,754 | ||||||
CHIBA BANK NPV
|
Common stock
|
36,018 | 35,719 | ||||||
CHRISTIAN DIOR EUR2
|
Common stock
|
19,286 | 19,358 | ||||||
CHUBU ELECTRIC POWER CO INC
|
Common stock
|
10,011 | 9,993 | ||||||
CHUGOKU BANK NPV
|
Common stock
|
23,273 | 23,079 | ||||||
CHUGOKU ELECTRIC POWER CO INC
|
Common stock
|
47,793 | 48,042 | ||||||
CI FINANCIAL CORP COMSTK
|
Common stock
|
10,609 | 10,626 | ||||||
CIE DE ST-GOBAN EUR4
|
Common stock
|
26,943 | 26,931 | ||||||
CIE FINANCIE RICHEMONT CHF
|
Common stock
|
42,980 | 44,115 | ||||||
CIN BELL INC
|
Corporate bond
|
271,500 | 272,938 | ||||||
CITY DEVELOPMENTS LTD
|
Common stock
|
17,140 | 17,174 | ||||||
CNP ASSURANCES EUR1.00
|
Common stock
|
53,508 | 53,498 | ||||||
COCA-COLA WEST CO
|
Common stock
|
33,778 | 33,497 | ||||||
COMMERZBANK AG ORD
|
Common stock
|
48,771 | 48,008 | ||||||
COMMONWEALTH BANK OF AUSTRALIA
|
Common stock
|
192,355 | 196,619 | ||||||
COMPASS GROUP ORD GBP0.10
|
Common stock
|
18,050 | 18,161 | ||||||
CREDIT SAISON CO
|
Common stock
|
20,430 | 20,377 | ||||||
CREDIT SUISSE AG CHF0.04
|
Common stock
|
138,500 | 141,864 | ||||||
CRESCENT POINT EN COM
|
Common stock
|
17,682 | 17,911 | ||||||
CRUM & FORSTER SR NT
|
Corporate bond
|
131,250 | 442,080 | ||||||
DAI-ICHI LIFE INSURANCE CO LTD
|
Common stock
|
81,881 | 78,585 | ||||||
DAIKIN INDUSTRIES
|
Common stock
|
77,505 | 78,777 | ||||||
DAITO TRUST CONST
|
Common stock
|
44,468 | 43,037 | ||||||
DAIWA SECS GROUP INC
|
Common stock
|
26,044 | 24,983 | ||||||
DANONE EUR0.25
|
Common stock
|
87,908 | 87,406 | ||||||
DAVITA INC
|
Corporate bond
|
250,000 | 50,875 | ||||||
DBS GROUP HLDGS
|
Common stock
|
10,546 | 10,435 | ||||||
DELEK GROUP ILS1
|
Common stock
|
14,119 | 14,078 | ||||||
DELHAIZE GROUP
|
Common stock
|
23,984 | 23,963 | ||||||
DELTA LLOYD NV EUR0.20
|
Common stock
|
17,758 | 17,624 | ||||||
DEUTSCHE BANK AG NPV
|
Common stock
|
119,472 | 118,983 | ||||||
DEUTSCHE BOERSE AG
|
Common stock
|
127,670 | 128,476 | ||||||
DEXIA NPV
|
Common stock
|
26,257 | 26,504 | ||||||
DIAGEO ORD PLC
|
Common stock
|
143,249 | 143,615 | ||||||
DNB NOR ASA NOK10
|
Common stock
|
67,976 | 69,207 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
DOWA HOLDINGS CO LTD
|
Common stock
|
19,025 | 19,362 | ||||||
DSV DKK1
|
Common stock
|
36,001 | 36,954 | ||||||
DT POSTBANK AG
|
Common stock
|
27,265 | 27,105 | ||||||
E.ON AG COM STK
|
Common stock
|
157,882 | 155,861 | ||||||
EAST JAPAN RAILWAY CO
|
Common stock
|
26,367 | 26,336 | ||||||
EDENRED EUR2
|
Common stock
|
10,677 | 10,552 | ||||||
EDF EUR0.5
|
Common stock
|
61,443 | 60,639 | ||||||
ELAN FIN PLC
|
Corporate bond
|
72,000 | 73,312 | ||||||
ELBIT SYSTEMS LTD ILS1
|
Common stock
|
23,505 | 23,613 | ||||||
ELDORADO GOLD CORP COM
|
Common stock
|
25,152 | 25,312 | ||||||
ELECTROLUX AF
|
Common stock
|
23,345 | 23,514 | ||||||
ELISA OYJ NPV
|
Common stock
|
18,363 | 18,383 | ||||||
ELPIDA MEMORY INC
|
Common stock
|
37,376 | 35,843 | ||||||
EMPIRE CO CLASS A
|
Common stock
|
10,649 | 10,743 | ||||||
ENBRIDGE INC COM
|
Common stock
|
54,170 | 54,401 | ||||||
ENCANA CORP COM
|
Common stock
|
68,671 | 66,283 | ||||||
ENEL EUR1
|
Common stock
|
100,093 | 99,430 | ||||||
ENERGIAS DE PORTUGAL SA EUR1
|
Common stock
|
38,399 | 38,025 | ||||||
ENERGY RES OF AUST CLS A
|
Common stock
|
9,695 | 9,848 | ||||||
ENERGY XXI GULF COAST SECD NT
|
Corporate bond
|
56,500 | 342,993 | ||||||
ENERGY XXI GULF 9.25%
|
Corporate bond
|
250,000 | 79,500 | ||||||
ENERPLUS RES FUND TRUST
|
Common stock
|
11,088 | 11,297 | ||||||
ENI SPA EUR1
|
Common stock
|
39,769 | 482,233 | ||||||
ERSTE GROUP BANK AG
|
Common stock
|
29,158 | 28,960 | ||||||
ESPRIT HOLDINGS HKD0.10
|
Common stock
|
37,859 | 37,961 | ||||||
ESSILOR INTL EUR0.18
|
Common stock
|
108,407 | 106,829 | ||||||
EUROPEAN AERONAUTIC DEFENCE & SPACE
|
Common stock
|
63,928 | 64,351 | ||||||
EUTELSAT COMMUNICA EUR1
|
Common stock
|
51,481 | 52,085 | ||||||
EXIDE TECHNOLOGIES
|
Corporate bond
|
325,000 | 52,187 | ||||||
EXPERIAN ORD
|
Common stock
|
13,427 | 13,641 | ||||||
FAIRFAX FINL HLDGS
|
Common stock
|
39,461 | 39,669 | ||||||
FAIRFAX MEDIA LIMITED HOLDGS
|
Common stock
|
35,547 | 36,514 | ||||||
FAMILYMART CO
|
Common stock
|
50,668 | 50,986 | ||||||
FANUC CORP
|
Common stock
|
22,973 | 22,689 | ||||||
FERRELLGAS LP
|
Corporate bond
|
75,000 | 75,187 | ||||||
FIAT SPA EUR3.50
|
Common stock
|
76,792 | 80,972 | ||||||
FINMECCANICA SPA EUR4.40
|
Common stock
|
9,879 | 9,754 | ||||||
FINNING INTL INC COM
|
Common stock
|
10,828 | 10,937 | ||||||
FLETCHER BUILDING NPV
|
Common stock
|
58,397 | 59,587 | ||||||
FOM CONST Y CONTRA EUR1
|
Common stock
|
30,476 | 30,517 | ||||||
FORTESCUE METALS GRP LTD
|
Common stock
|
17,495 | 17,655 | ||||||
FORTIS INC COM
|
Common stock
|
13,700 | 13,738 | ||||||
FORTUM OYJ EUR3.40
|
Common stock
|
54,424 | 53,528 | ||||||
FOSTERS GROUP LTD
|
Common stock
|
97,271 | 97,218 | ||||||
FRANCE TELECOM EUR4
|
Common stock
|
180,106 | 504,217 | ||||||
FRANCO NEVADA CORP COM
|
Common stock
|
8,704 | 8,905 | ||||||
FRASSER & NEAVE LTD
|
Common stock
|
64,843 | 64,852 | ||||||
FRESENIUS MEDICAL CARE
|
Common stock
|
77,113 | 75,702 | ||||||
FRESENIUS SE NON-VTG PRF
|
Common stock
|
47,965 | 47,401 | ||||||
FUJI HEAVY INDUSTRIES
|
Common stock
|
27,129 | 26,726 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
FUJI MEDIA HOLDINGS INC
|
Common stock
|
9,851 | 9,724 | ||||||
FUJITSU Y50
|
Common stock
|
114,023 | 112,709 | ||||||
GDF SUEZ EUR1
|
Common stock
|
107,331 | 106,030 | ||||||
GEA GROUP AG
|
Common stock
|
53,830 | 54,414 | ||||||
GEBERIT CHF0.10
|
Common stock
|
76,043 | 76,258 | ||||||
GEN MARITIME CORP
|
Corporate bond
|
280,625 | 72,500 | ||||||
GENTING SINGAPORE PLC USD0.10
|
Foreign bond
|
45,320 | 45,030 | ||||||
GEORGE WESTON COM
|
Common stock
|
14,891 | 15,231 | ||||||
GERDAU AMERISTEEL COM
|
Common stock
|
9,830 | 9,895 | ||||||
GILDAN ACTIVEWEAR COM
|
Common stock
|
11,628 | 11,608 | ||||||
GIVAUDAN AG CHF10
|
Common stock
|
56,448 | 57,834 | ||||||
GLOBAL CASH ACCESS LLC
|
Corporate bond
|
172,937 | 175,000 | ||||||
GOLDCORP INC COM
|
Common stock
|
84,023 | 84,939 | ||||||
GOLDEN AGRI-RESOURCES LTD
|
Corporate bond
|
47,601 | 46,460 | ||||||
GOODMAN FIELDER
|
Common stock
|
18,243 | 18,545 | ||||||
GPE EUROTUNNEL EURO0.40
|
Common stock
|
9,305 | 9,182 | ||||||
GREAT WEST LIFECO COM
|
Common stock
|
18,325 | 18,213 | ||||||
GRIFOLS SA EUR0.5
|
Common stock
|
17,597 | 17,026 | ||||||
G4S PLC ORD 25P
|
Common stock
|
68,061 | 67,237 | ||||||
HACHIJUNI BANK
|
Common stock
|
11,290 | 11,172 | ||||||
HAMMERSON ORD GBP0.25
|
Common stock
|
61,118 | 61,623 | ||||||
HANG LUNG GROUP HKD1
|
Common stock
|
17,464 | 17,288 | ||||||
HANG LUNG PROPERTIES HKD1
|
Common stock
|
28,949 | 29,173 | ||||||
HANKYU HANSHIN HOLDINGS INC
|
Common stock
|
36,295 | 35,880 | ||||||
HEIDELBERG CEMENT
|
Common stock
|
22,284 | 22,854 | ||||||
HEINEKEN NV EUR1.60
|
Common stock
|
90,097 | 90,410 | ||||||
HENDERSON LAND DEVELOPMENT HKD2
|
Common stock
|
42,027 | 41,869 | ||||||
HENKEL AG & CO KGAA NON-VTG
|
Common stock
|
82,058 | 82,384 | ||||||
HENKEL AG & CO KGAA
|
Common stock
|
41,565 | 41,698 | ||||||
HENNES & MAURITZ SER'B'NPV
|
Common stock
|
72,012 | 72,541 | ||||||
HIROSE ELECTRIC NPV
|
Common stock
|
39,481 | 39,367 | ||||||
HISAMITSU PHARM CO
|
Common stock
|
11,394 | 11,562 | ||||||
HITACHI NPV
|
Common stock
|
23,135 | 63,452 | ||||||
HOKKAIDO ELECTRIC NPV
|
Common stock
|
39,107 | 38,940 | ||||||
HOKUHOKU FINANCIAL NPV
|
Common stock
|
14,592 | 14,499 | ||||||
HOLCIM CHF2
|
Common stock
|
21,941 | 22,326 | ||||||
HONG KONG & CHINA GAS HKD0.25
|
Common stock
|
54,761 | 54,277 | ||||||
HOYA CORP
|
Common stock
|
58,980 | 57,917 | ||||||
HSBC HLDGS ORD USD0.50
|
Common stock
|
254,372 | 361,899 | ||||||
HUSKY ENERGY INC COM
|
Common stock
|
20,077 | 20,124 | ||||||
HUTCHISON WHAMPOA HKD20.2
|
Common stock
|
111,276 | 111,484 | ||||||
IMAGOLD CORP COM
|
Common stock
|
12,857 | 12,925 | ||||||
IBERDROLA RENOVABL EURO0.5
|
Common stock
|
24,986 | 24,246 | ||||||
IBERDROLA SA EUR0.75
|
Common stock
|
63,331 | 62,527 | ||||||
IBERIA LINEAS AERE EUR0.78
|
Common stock
|
32,170 | 33,562 | ||||||
ICAP ORD GBP0.10
|
Common stock
|
36,294 | 35,686 | ||||||
ICL-ISRAEL CHEM ILS1
|
Common stock
|
25,546 | 25,503 | ||||||
IGM FINANCIAL INC COM
|
Common stock
|
10,985 | 11,256 | ||||||
IHI CORPORATION
|
Common stock
|
10,459 | 10,255 | ||||||
IMPERIAL OIL COM
|
Common stock
|
34,380 | 34,537 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
IMPERIAL TOBACCO ORD GBP0.10
|
Common stock
|
91,326 | 89,134 | ||||||
INDL ALLIANCE INS COM
|
Common stock
|
9,352 | 9,446 | ||||||
INFINEON TECHNOLOG ORD
|
Common stock
|
34,012 | 34,111 | ||||||
ING GROEP NV CVA EUR0.24
|
Common stock
|
87,807 | 89,750 | ||||||
INMARSAT ORD EUR0.0005
|
Common stock
|
11,548 | 11,766 | ||||||
INMET MINING CORP COM
|
Common stock
|
9,020 | 9,175 | ||||||
INPEX CORPORATION
|
Common stock
|
9,270 | 9,245 | ||||||
INTACT FINL CORP COM
|
Common stock
|
13,363 | 13,585 | ||||||
INTELSAT CORP 9.25%
|
Corporate bond
|
324,675 | 324,572 | ||||||
INTERLINE BRANDS
|
Corporate bond
|
150,000 | 151,875 | ||||||
INTESA SANPAOLO DI RISP EUR0.52
|
Common stock
|
19,311 | 18,776 | ||||||
INTL LEASE FIN CORP MED TER TRANCHE
|
Corporate bond
|
48,625 | 49,625 | ||||||
INTL LEASE FIN CORP 6.25%
|
Corporate bond
|
75,000 | 75,750 | ||||||
INTL LEASE FIN 6.375%
|
Corporate bond
|
48,000 | 51,000 | ||||||
INTL POWER ORD GBP0.50
|
Common stock
|
89,877 | 90,734 | ||||||
INVENSYS ORD GBP0.10
|
Common stock
|
53,245 | 55,005 | ||||||
INVESTEC ORD GBP0.0002
|
Common stock
|
40,829 | 42,265 | ||||||
INVESTOR AB SER'B
|
Common stock
|
36,213 | 36,618 | ||||||
IPSEN EUR1
|
Common stock
|
12,283 | 12,211 | ||||||
ISRAEL DISCOUNT BK ILS0.10
|
Common stock
|
15,721 | 15,830 | ||||||
ITOCHU TECHNO-SOLUTIONS CORP
|
Common stock
|
26,586 | 26,055 | ||||||
IVANHOE MINES COM
|
Common stock
|
9,978 | 10,332 | ||||||
IYO BANK
|
Common stock
|
9,028 | 8,912 | ||||||
J FRONT RETAILING
|
Common stock
|
23,204 | 22,597 | ||||||
JABIL CIRCUIT INC 5.625%
|
Corporate bond
|
100,000 | 100,625 | ||||||
JAMES HARDIE ID NV CUFS EUR0.5
|
Common stock
|
16,644 | 16,811 | ||||||
JAPAN PETROLEUM EX
|
Common stock
|
24,070 | 23,882 | ||||||
JAPAN TOBACCO INC
|
Common stock
|
66,142 | 244,214 | ||||||
JOHNSON MATTHEY ORD GBP1
|
Common stock
|
17,893 | 18,192 | ||||||
JOYO BANK
|
Common stock
|
23,689 | 23,469 | ||||||
JS GROUP CORP COM
|
Common stock
|
22,032 | 22,043 | ||||||
JSR CORP
|
Common stock
|
32,229 | 31,899 | ||||||
JULIUS BAER GRUPPE CHF0.02
|
Common stock
|
78,950 | 83,995 | ||||||
JUPITER TELECOMM
|
Common stock
|
47,693 | 46,633 | ||||||
JX HOLDINGS INC
|
Common stock
|
82,475 | 81,948 | ||||||
K&S AG
|
Common stock
|
30,066 | 30,059 | ||||||
KANSAI ELECTRIC POWER CO
|
Common stock
|
24,243 | 24,203 | ||||||
KEIKYU CORP
|
Common stock
|
9,489 | 9,337 | ||||||
KEPPEL CORP
|
Common stock
|
76,347 | 76,408 | ||||||
KERRY PROPERTIES HKD1
|
Common stock
|
38,635 | 38,846 | ||||||
KESKO OYJ EUR2
|
Common stock
|
13,918 | 14,007 | ||||||
KEY ENERGY SVCS 6.75%
|
Corporate bond
|
125,000 | 25,469 | ||||||
KEY ENERGY SVCS8.375%
|
Corporate bond
|
381,500 | 381,500 | ||||||
KINROSS GOLD CORP COM
|
Common stock
|
28,176 | 28,286 | ||||||
KINTETSU CO
|
Common stock
|
79,078 | 78,573 | ||||||
KIRIN HOLDINGS CO
|
Common stock
|
76,885 | 75,912 | ||||||
KKEIO CORP
|
Common stock
|
54,489 | 54,141 | ||||||
KOMATSU
|
Common stock
|
13,883 | 13,843 | ||||||
KONINKLIJKE KPN
|
Common stock
|
97,852 | 94,475 | ||||||
KUEHNE&NAGEL INTL CHF1
|
Common stock
|
34,389 | 35,076 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
KURITA WATER INDS
|
Common stock
|
27,972 | 27,827 | ||||||
L'OREAL EUR0.20
|
Common stock
|
65,393 | 65,202 | ||||||
LAFARGE EUR4
|
Common stock
|
86,158 | 87,780 | ||||||
LAND SECURITIES GP ORD GBP0.10
|
Common stock
|
72,196 | 72,843 | ||||||
LAWSON INC
|
Common stock
|
13,888 | 13,713 | ||||||
LEND LEASE GROUP
|
Common stock
|
14,696 | 14,859 | ||||||
LI & FUNG LTD HKD0.025
|
Common stock
|
64,508 | 63,209 | ||||||
LINDE AG
|
Common stock
|
29,834 | 29,660 | ||||||
LINK R/EST INVEST
|
Common stock
|
67,340 | 66,821 | ||||||
LLOYDS BANKING GP ORD GBP0.1
|
Corporate bond
|
116,743 | 118,361 | ||||||
LOBLAWS COS LTD COM
|
Common stock
|
11,591 | 11,921 | ||||||
LOGITECH INTL CHF0.25
|
Common stock
|
27,252 | 27,520 | ||||||
LONZA GROUP AG CHF1
|
Common stock
|
52,759 | 53,684 | ||||||
LUXOTTICA GROUP EUR0.06
|
Common stock
|
36,587 | 36,830 | ||||||
LVMH MOET HENNESSY LOUIS VUITTON EUR0.30
|
Common stock
|
89,933 | 90,042 | ||||||
MACARTHUR COAL LTD
|
Common stock
|
16,418 | 17,443 | ||||||
MACQUARIE GP LTD
|
Common stock
|
88,225 | 90,150 | ||||||
MAGNA INTL INC COM
|
Common stock
|
28,793 | 28,796 | ||||||
MAKHTECHIM AGAN IN ILS1
|
Common stock
|
11,473 | 11,229 | ||||||
MAN GROUP ORD UDS0.03428571
|
Common stock
|
65,748 | 67,384 | ||||||
MAN SE ORD NPV
|
Common stock
|
64,818 | 65,639 | ||||||
MANITOC INC 8.5%
|
Corporate bond
|
173,539 | 189,375 | ||||||
MANULIFE FINL CORP COM
|
Common stock
|
68,174 | 67,371 | ||||||
MARINA DIST FIN CO 9.5%
|
Corporate bond
|
123,679 | 125,313 | ||||||
MARUBENI CORP
|
Common stock
|
84,596 | 83,689 | ||||||
MARUCHI STEEL TUBE LTD
|
Common stock
|
9,818 | 9,847 | ||||||
MATSUI SECURITIES CO LTD
|
Common stock
|
12,728 | 12,381 | ||||||
MEDIASET ESPANA EUR0.5
|
Common stock
|
37,397 | 38,649 | ||||||
MEIJI HOLDINGS CO
|
Common stock
|
29,940 | 29,909 | ||||||
MERCK KGAA NPV
|
Common stock
|
22,481 | 22,021 | ||||||
METCASH LIMITED
|
Common stock
|
13,373 | 13,441 | ||||||
METRO AG ORD
|
Common stock
|
37,197 | 36,283 | ||||||
METRO INC CLASS A
|
Common stock
|
8,385 | 8,594 | ||||||
METROPOLE TV-(M6) EUR0.40
|
Common stock
|
43,260 | 43,460 | ||||||
MINEBEA CO
|
Common stock
|
22,119 | 21,610 | ||||||
MITSUBISHI CHEM HL
|
Common stock
|
9,859 | 10,048 | ||||||
MITSUBISHI CORP
|
Common stock
|
49,732 | 48,913 | ||||||
MITSUBISHI ELEC CP
|
Common stock
|
8,127 | 8,006 | ||||||
MITSUBISHI ESTATE CO LTD
|
Common stock
|
13,761 | 13,512 | ||||||
MITSUBISHI HVY IND
|
Common stock
|
98,588 | 98,279 | ||||||
MITSUBISHI MATERLS
|
Common stock
|
42,852 | 41,661 | ||||||
MITSUBISHI MOTORS JPY50
|
Common stock
|
55,274 | 54,921 | ||||||
MITSUI & CO LTD
|
Common stock
|
32,716 | 32,448 | ||||||
MITSUI CHEMICALS
|
Common stock
|
17,316 | 17,068 | ||||||
MITSUI FUDOSAN CO LTD
|
Common stock
|
43,360 | 42,705 | ||||||
MITSUMI ELECTRIC
|
Common stock
|
13,188 | 13,030 | ||||||
MIZUHO FINANCIAL GROUP
|
Common stock
|
40,996 | 200,732 | ||||||
MOBILE MINI INC 7.875%
|
Corporate bond
|
125,000 | 133,125 | ||||||
MTR CORP HKD1
|
Common stock
|
31,710 | 31,547 | ||||||
MUENCHENER RUECKVE
|
Common stock
|
106,830 | 105,636 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
MURATA MANUFACTURING CO
|
Common stock
|
54,604 | 54,256 | ||||||
NAMCO BANDAI HOLDGS
|
Common stock
|
15,131 | 15,093 | ||||||
NATIONAL GRID ORD GBP0.113953
|
Common stock
|
104,400 | 103,944 | ||||||
NATL AUSTRALIA BK
|
Common stock
|
120,951 | 121,947 | ||||||
NATL BK OF CANADA COM
|
Common stock
|
27,135 | 26,992 | ||||||
NATL PORTEFEUILLE
|
Common stock
|
9,978 | 10,011 | ||||||
NEOPOST EUR1
|
Common stock
|
9,934 | 9,890 | ||||||
NESTLE SA CHF0.10
|
Common stock
|
473,251 | 478,399 | ||||||
NEWCREST MINING LTD
|
Common stock
|
92,433 | 93,432 | ||||||
NEXEN INC COM
|
Common stock
|
28,419 | 28,582 | ||||||
NEXT ORD GBP0.10
|
Common stock
|
74,533 | 76,481 | ||||||
NGK INSULATORS LTD
|
Common stock
|
15,458 | 15,164 | ||||||
NGK SPARK PLUG CO
|
Common stock
|
12,964 | 12,641 | ||||||
NHK SPRING CO LTD
|
Common stock
|
18,425 | 17,871 | ||||||
NIKO RESOURCES COM
|
Common stock
|
10,335 | 10,366 | ||||||
NINTENDO CO LTD
|
Common stock
|
84,331 | 84,308 | ||||||
NIPPON EXPRESS CO
|
Corporate bond
|
48,636 | 47,442 | ||||||
NIPPON MEAT PACKER JPY50
|
Common stock
|
26,067 | 26,153 | ||||||
NIPPON YUSEN KABUSHIKI KAISHA
|
Common stock
|
11,360 | 11,287 | ||||||
NISSHA PRINTING CO
|
Common stock
|
22,340 | 21,922 | ||||||
NISSIN FOODS HOLDINGS CO LTD
|
Common stock
|
43,984 | 43,496 | ||||||
NITORI HOLDINGS
|
Common stock
|
56,278 | 55,919 | ||||||
NOBEL BIOCARE HOLD CHF.4
|
Common stock
|
25,905 | 25,693 | ||||||
NOBEL GROUP HKD0.25
|
Common stock
|
39,277 | 39,820 | ||||||
NOKIAN RENKAAT OYJ
|
Common stock
|
49,205 | 49,313 | ||||||
NOMURA HOLDINGS
|
Common stock
|
33,309 | 31,836 | ||||||
NORDEA BANK AB ORD EUR0.39632
|
Common stock
|
61,754 | 60,454 | ||||||
NOVARTIS AG CHF0.50
|
Common stock
|
238,982 | 236,779 | ||||||
NOVO-NORDISK AS DKKA SER'B'
|
Common stock
|
147,233 | 145,843 | ||||||
NOVOZYMES A/S SER'B'DKK10
|
Common stock
|
28,532 | 28,728 | ||||||
NTN CORP
|
Common stock
|
29,980 | 29,147 | ||||||
NTT DOCOMO
|
Common stock
|
29,721 | 29,574 | ||||||
OBAYASHI CORP
|
Common stock
|
25,628 | 24,914 | ||||||
ODAKYU ELEC RLWY
|
Common stock
|
36,480 | 36,384 | ||||||
OJI PAPER CO
|
Common stock
|
54,223 | 53,625 | ||||||
OLAM INTERNATIONAL LTD
|
Common stock
|
26,945 | 26,692 | ||||||
OLYMPUS CORP
|
Common stock
|
64,100 | 64,378 | ||||||
ONESTEEL
|
Common stock
|
37,382 | 38,536 | ||||||
OPEN TEXT CO COM
|
Common stock
|
8,004 | 8,180 | ||||||
ORCA LIMITED
|
Common stock
|
25,342 | 25,823 | ||||||
ORIGIN ENERGY LTD
|
Common stock
|
75,459 | 76,710 | ||||||
ORIX CORP
|
Common stock
|
56,008 | 54,577 | ||||||
ORKLA ASA NOK1.25
|
Common stock
|
49,893 | 51,559 | ||||||
OVERSEA-CHINESE BANKING CORP
|
Common stock
|
19,522 | 19,211 | ||||||
OZ MINERALS LTD COMSTK
|
Common stock
|
47,989 | 49,835 | ||||||
PACIFIC RUBIALES COM
|
Common stock
|
16,128 | 16,030 | ||||||
PAN AMER SILVER COM
|
Common stock
|
9,121 | 9,168 | ||||||
PANASONIC CORP
|
Common stock
|
35,524 | 35,008 | ||||||
PARMALAT S.P.A. EUR1
|
Common stock
|
20,986 | 21,011 | ||||||
PARTNER COMMUNICATION ILS0.01
|
Common stock
|
11,963 | 12,194 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
PCCW LIMITED HKD0.25
|
Corporate bond
|
28,509 | 27,993 | ||||||
PEARSON ORD GBP0.25
|
Common stock
|
77,490 | 78,229 | ||||||
PENN WEST MAND EXCHANGE
|
Common stock
|
19,304 | 19,523 | ||||||
PERNOD RICARD NPV EUR 1.55
|
Common stock
|
18,235 | 17,968 | ||||||
PETROBAKKEN ENERGY COM CLASS A
|
Common stock
|
10,453 | 10,731 | ||||||
PETROBANK ENERGY & COM
|
Common stock
|
11,412 | 11,961 | ||||||
PETROFAC ORD USD0.02
|
Common stock
|
24,070 | 24,493 | ||||||
PHI INC 8.625%
|
Corporate bond
|
100,000 | 51,000 | ||||||
PHILIPS ELEC(KON) EUR0.20
|
Common stock
|
117,817 | 118,447 | ||||||
POTASH CORP SASK COM
|
Common stock
|
87,498 | 87,043 | ||||||
POWER CORP CANADA SUB-VTG
|
Common stock
|
24,983 | 25,126 | ||||||
POWER FINL CORP COM
|
Common stock
|
18,557 | 18,696 | ||||||
PPR EUR4
|
Common stock
|
39,683 | 39,844 | ||||||
PRIDE INTL INC DEL 6.875%
|
Corporate bond
|
250,000 | 260,781 | ||||||
PROGRESS ENERGY COM
|
Common stock
|
9,428 | 9,425 | ||||||
PROVIDENT ENERGY TRUST UNITS
|
Common stock
|
10,012 | 10,102 | ||||||
PRUDENTIAL ORD GBP0.05
|
Common stock
|
44,091 | 45,100 | ||||||
PUBLICIS GROUPE SA DUR0.40
|
Common stock
|
36,930 | 37,251 | ||||||
PVTPL AAC GROUP HLDG CORP SR DISCNT 10.25
|
Corporate bond
|
272,594 | 276,031 | ||||||
PVTPL AIRCASTLE LTD SR NT 9.75%
|
Corporate bond
|
98,645 | 50,375 | ||||||
PVTPL ALLEN SYS GROUP INC SR SECD NT 10.5
|
Corporate bond
|
200,000 | 103,500 | ||||||
PVTPL AMERN PETE TANKERS PARENT LLC 10.25
|
Corporate bond
|
126,406 | 22,660 | ||||||
PVTPL ARDAUGH PACKAGING SR SECD NT 7.375
|
Corporate bond
|
175,000 | 184,642 | ||||||
PVTPL AVAYA INC 7
|
Corporate bond
|
150,000 | 149,875 | ||||||
PVTPL AWAS AVIATION CAP SR SECD NT 7%
|
Corporate bond
|
125,000 | 125,469 | ||||||
PVTPL BLUE MERGER SUB INC NT 7.625%
|
Corporate bond
|
200,000 | 204,500 | ||||||
PVTPL BUILDING MATLS CORP SR NT 6.875%
|
Corporate bond
|
98,493 | 98,500 | ||||||
PVTPL BUMBLE BEE FOODS LLC 7.75%
|
Corporate bond
|
253,531 | 26,780 | ||||||
PVTPL CAPELLA HEALTHCARE SR NT 9.25%
|
Corporate bond
|
123,425 | 129,375 | ||||||
PVTPL CASE NEW HOLLAND SR NT 7.875%
|
Corporate bond
|
198,640 | 50,125 | ||||||
PVTPL CLEANESE US HLDGS LLC SR NT 6.625%
|
Corporate bond
|
100,000 | 105,250 | ||||||
PVTPL CHES MIDSTREAM PARTNERS NT 5.875%
|
Corporate bond
|
100,000 | 100,375 | ||||||
PVTPL CHRYSLER GROUP LLC SECD SR NT
|
Corporate bond
|
175,000 | 175,437 | ||||||
PVTPL CITADEL BROADCASTING SR NT 7.75%
|
Corporate bond
|
100,000 | 106,750 | ||||||
PVTPL CROWN AMERS LLC SR NT 6.25%
|
Corporate bond
|
100,000 | 101,406 | ||||||
PVTPL DYNCORP INTL SR NT 10.375%
|
Corporate bond
|
125,000 | 128,500 | ||||||
PVTPL ENDO PHARMACEUTICALS SR NT 7%
|
Corporate bond
|
99,105 | 101,250 | ||||||
PVTPL ENTRAVISION COMM SR SECD NT 8.75%
|
Corporate bond
|
123,402 | 129,437 | ||||||
PVTPL ESTERLINE TECH CORP SR NT 7%
|
Corporate bond
|
225,000 | 228,937 | ||||||
PVTPL EXTERRAN HLDGS INC SR NT 7.25%
|
Corporate bond
|
100,000 | 100,500 | ||||||
PVTPL FID NATL INFO SVCS SR NT 7.875%
|
Corporate bond
|
275,000 | 129,437 | ||||||
PVTPL FLORIDA EAST COAST RY SR NT 8.125%
|
Corporate bond
|
125,000 | 130,625 | ||||||
PVTPL FMG FIN PTY LTD SR SECD NT 10.625%
|
Corporate bond
|
82,406 | 383,188 | ||||||
PVTPL FMG RES AUG 2006 PTY SR NT 7%
|
Corporate bond
|
400,000 | 409,625 | ||||||
PVTPL FTI CONSULTING INC SR NT 6.75%
|
Corporate bond
|
325,000 | 75,469 | ||||||
PVTPL GIANT FDG SR NT 9.25%
|
Corporate bond
|
275,000 | 284,344 | ||||||
PVTPL HARVEST OPERATIONS SR NT 6.875%
|
Corporate bond
|
148,978 | 153,187 | ||||||
PVTPL HERTZ CORP SR NT 7.5%
|
Corporate bond
|
50,000 | 50,437 | ||||||
PVTPL LBI ESCROW CORP SR NT 8%
|
Corporate bond
|
111,000 | 107,872 | ||||||
PVTPL NAI ENTMT HLDGS LLC 8.25%
|
Corporate bond
|
150,000 | 156,000 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
PVTPL OMNOVA SOLUTIONS INC 7.875%
|
Corporate bond
|
125,000 | 128,125 | ||||||
PVTPL PALACE ENTMT HLDGS LLC
|
Corporate bond
|
75,000 | 78,000 | ||||||
PVTPL PILGRIMS PRIDE CORP SR NT 7.875%
|
Corporate bond
|
124,089 | 125,000 | ||||||
PVTPL PRECISION DRILLING CORP 6.625%
|
Corporate bond
|
100,000 | 101,500 | ||||||
PVTPL RADIOSHACK CORP SR NT 6.75%
|
Corporate bond
|
99,234 | 50,000 | ||||||
PVTPL RENT A CTR INC SR NT 6.625%
|
Corporate bond
|
100,000 | 99,250 | ||||||
PVTPL SEARS HLDGS CORP SR SECD NT 6.625%
|
Corporate bond
|
200,000 | 50,437 | ||||||
PVTPL SENECA GAMING CORP SR NT 8.25%
|
Corporate bond
|
125,000 | 127,656 | ||||||
PVTPL SUNGARD DATA SYSTEMS 7.375%
|
Corporate bond
|
175,000 | 177,844 | ||||||
PVTPL UNIVISION COMMUNICATIONS SR NT 7.875%
|
Corporate bond
|
175,000 | 180,469 | ||||||
PVTPL US FOODSERVICE SR NT 10.75%
|
Corporate bond
|
179,375 | 186,103 | ||||||
PVTPL VALEANT PHARMACEUTICALS SR NT
|
Corporate bond
|
273,281 | 282,562 | ||||||
PVTPL VISTEON CORP SR NTO 6.75%
|
Corporate bond
|
100,000 | 99,875 | ||||||
PVTPL WIND ACQSTN FIN SR SECD NT 7.25%
|
Corporate bond
|
397,292 | 226,125 | ||||||
PVTPL XM SATELLITE RADIO SR NT 7.625%
|
Corporate bond
|
200,000 | 205,250 | ||||||
QIAGEN NV COM EUR0.01
|
Common stock
|
55,567 | 55,327 | ||||||
RAKUTEN INC
|
Common stock
|
43,684 | 43,846 | ||||||
RANDSTAD HLDGS NV EUR0.10
|
Common stock
|
19,421 | 20,046 | ||||||
RANGE RES CORP 6.75%
|
Corporate bond
|
150,000 | 155,625 | ||||||
RATOS AB SER'B'NPV
|
Common stock
|
21,244 | 21,703 | ||||||
RECKITT BENCK GRP ORD GBP0.10
|
Common stock
|
99,696 | 102,558 | ||||||
RED BACK MGN INC
|
Common stock
|
16,785 | 16,426 | ||||||
REED ELSEVIER GBP0.1444
|
Common stock
|
14,532 | 14,620 | ||||||
REGAL ENTMT GROUP 9.125%
|
Corporate bond
|
231,750 | 241,687 | ||||||
RESEARCH IN MOTION COM
|
Common stock
|
76,629 | 75,134 | ||||||
RINNAI CORP
|
Common stock
|
16,277 | 16,225 | ||||||
RIO TINTO LIMITED
|
Common stock
|
42,583 | 44,135 | ||||||
RIO TINTO ORD GBP0.10
|
Common stock
|
223,762 | 227,738 | ||||||
ROCHE HLDGS AG GENUSSCHEINE
|
Common stock
|
220,080 | 210,940 | ||||||
ROGERS COMMS INC CLASS B
|
Common stock
|
45,370 | 45,959 | ||||||
ROLLS ROYCE GROUP ORD GBP0.20
|
Common stock
|
24,334 | 24,260 | ||||||
ROYAL BANK OF CANADA COM
|
Common stock
|
203,050 | 199,549 | ||||||
ROYAL BK SCOT GRP ORD GBP0.25
|
Corporate bond
|
72,037 | 73,205 | ||||||
ROYAL DUTCH SHELL 'A'
|
Common stock
|
200,942 | 200,945 | ||||||
ROYAL DUTCH SHELL 'B'
|
Common stock
|
117,615 | 117,783 | ||||||
RSA INSURANCE GROUP GBP0.275
|
Common stock
|
45,352 | 45,244 | ||||||
RWE AG
|
Common stock
|
100,898 | 100,131 | ||||||
SABMILLER ORD USD0.10
|
Common stock
|
88,082 | 88,709 | ||||||
SAIPEM EUR1
|
Common stock
|
36,967 | 37,247 | ||||||
SALZGITTER AG
|
Common stock
|
14,053 | 14,089 | ||||||
SANDVIK AB
|
Common stock
|
38,875 | 38,895 | ||||||
SANKO CO LTD
|
Common stock
|
23,868 | 24,031 | ||||||
SANTEN PHARM CO
|
Common stock
|
10,528 | 10,358 | ||||||
SANYO ELECTRIC CO
|
Common stock
|
33,617 | 33,402 | ||||||
SAP AG ORD
|
Common stock
|
169,871 | 167,903 | ||||||
SAPUTO INC COM
|
Common stock
|
18,608 | 18,667 | ||||||
SBI HLDGS INC
|
Common stock
|
35,999 | 34,741 | ||||||
SBM OFFSHORE NV EUR0.25
|
Common stock
|
28,653 | 28,578 | ||||||
SCANIA AB SER'B'NPV
|
Common stock
|
9,862 | 9,957 | ||||||
SCHNEIDER ELECTRIC EUR8
|
Common stock
|
185,484 | 183,434 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
SCOT & STHN ENERGY ORD GBP0.50
|
Common stock
|
37,266 | 37,025 | ||||||
SEADRILL LTD USD2
|
Common stock
|
41,247 | 41,969 | ||||||
SECOM CO
|
Common stock
|
84,781 | 84,136 | ||||||
SECURITAS SER'B'NPV
|
Common stock
|
24,956 | 25,101 | ||||||
SEGA SAMMY HLDGS
|
Common stock
|
16,597 | 16,365 | ||||||
SEGRO PLC ORD GBP0.10
|
Common stock
|
33,233 | 33,682 | ||||||
SEIKO EPSON CORP
|
Common stock
|
40,451 | 39,422 | ||||||
SEKISUI CHEMICAL CO LTD
|
Common stock
|
32,382 | 31,888 | ||||||
SEKISUI HOUSE NPV
|
Common stock
|
35,325 | 35,146 | ||||||
SEMBCORP INDUSTRIE NPV
|
Common stock
|
24,636 | 24,160 | ||||||
SES FDR EACH REP 1 "A" NPV
|
Common stock
|
84,661 | 85,135 | ||||||
SGS SA CHF1
|
Common stock
|
24,352 | 24,379 | ||||||
SHANGRI-LA ASIA HKD1
|
Common stock
|
11,564 | 11,361 | ||||||
SHARP CORP NPV
|
Common stock
|
88,475 | 87,818 | ||||||
SHAW COMMUNICATION 'B'CNV
|
Common stock
|
21,380 | 21,454 | ||||||
SHERRITT INERNATIONAL CORP
|
Common stock
|
9,603 | 9,855 | ||||||
SHIKOKU ELEC POWER
|
Common stock
|
14,961 | 14,952 | ||||||
SHIMANO INC
|
Common stock
|
23,983 | 23,601 | ||||||
SHIN-ETSU CHEMICAL
|
Common stock
|
9,559 | 9,348 | ||||||
SHINSEI BANK
|
Common stock
|
18,009 | 18,789 | ||||||
SHIONOGI & CO LTD
|
Common stock
|
61,697 | 61,303 | ||||||
SHIZUOKA BANK
|
Common stock
|
33,248 | 33,356 | ||||||
SHOPPERS DRUG MART COM
|
Common stock
|
20,599 | 20,435 | ||||||
SHOWA SHELL SEKIYU KK NPV
|
Common stock
|
32,255 | 32,705 | ||||||
SILVER WHEATON COR COM
|
Common stock
|
16,384 | 16,440 | ||||||
SIMMONS GOODS INC 10.5%
|
Corporate bond
|
277,125 | 80,677 | ||||||
SIMS METAL MANAGEMENT LTD
|
Common stock
|
16,741 | 17,415 | ||||||
SINGAPORE EXCHANGE
|
Common stock
|
21,643 | 21,511 | ||||||
SINGAPORE PRESS HOLDINGS
|
Common stock
|
26,538 | 26,197 | ||||||
SINGAPORE TECHNOLOGIES ENGINEERING
|
Common stock
|
23,386 | 23,214 | ||||||
SINGAPORE TELECOMMUNICATIONS
|
Common stock
|
33,772 | 33,401 | ||||||
SINO LAND CO HKD1
|
Common stock
|
11,410 | 11,500 | ||||||
SINO-FOREST CORP COM
|
Common stock
|
10,991 | 10,993 | ||||||
SMC CORP
|
Common stock
|
26,898 | 26,520 | ||||||
SMITH & NEPHEW ORD USD0.20
|
Common stock
|
92,077 | 87,429 | ||||||
SMITHS GROUP ORD GBP0.375
|
Common stock
|
79,726 | 81,025 | ||||||
SNC-LAVALIN GROUP COM
|
Common stock
|
17,237 | 17,288 | ||||||
SOCIETE GENERALE EUR1.25
|
Common stock
|
77,238 | 77,027 | ||||||
SODEXHO EUR4
|
Common stock
|
51,756 | 51,927 | ||||||
SOFTBANK CORP
|
Common stock
|
48,788 | 48,340 | ||||||
SOJITZ CORP
|
Common stock
|
28,563 | 27,768 | ||||||
SOLVAY SA
|
Common stock
|
10,990 | 11,071 | ||||||
SONOVA HOLDING AG
|
Common stock
|
18,192 | 17,993 | ||||||
SP AUSNET (AUD QUOTE)
|
Common stock
|
20,337 | 20,934 | ||||||
SSAB AB SER'A'
|
Common stock
|
25,845 | 26,637 | ||||||
STANDARD CHARTERED ORD UDS0.50
|
Common stock
|
185,630 | 187,240 | ||||||
STANDARD LIFE ORD GBP0.10
|
Common stock
|
15,924 | 15,875 | ||||||
STARHUB LTD
|
Common stock
|
37,549 | 37,142 | ||||||
STATOILHYDRO ASA NOK2.50
|
Common stock
|
31,812 | 32,430 | ||||||
SUEDZUCKER AG
|
Common stock
|
39,424 | 38,460 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
SUEZ ENVIRONMENT EUR4
|
Common stock
|
32,690 | 32,719 | ||||||
SUMITOMO CHEMICAL CO LTD
|
Common stock
|
42,414 | 42,890 | ||||||
SUMITOMO CORP
|
Common stock
|
103,581 | 102,252 | ||||||
SUMITOMO ELECTRIC
|
Common stock
|
64,827 | 64,160 | ||||||
SUMITOMO REALTY & DEVELOPMENT
|
Common stock
|
16,889 | 16,758 | ||||||
SUMITOMO TRUST & BANKING CO
|
Common stock
|
51,603 | 51,503 | ||||||
SUN LIFE FINL INC COM
|
Common stock
|
37,830 | 37,703 | ||||||
SUNCOR ENERGY INC COM
|
Common stock
|
138,210 | 137,359 | ||||||
SUNCORP GROUP LTD
|
Common stock
|
35,852 | 36,619 | ||||||
SUZUKEN CO LTD
|
Common stock
|
41,698 | 41,776 | ||||||
SVENSKA CELLULOSA SER'B'
|
Common stock
|
10,246 | 10,957 | ||||||
SWATCH GROUP CHF2.25
|
Common stock
|
65,555 | 67,106 | ||||||
SWEDISH MATCH
|
Common stock
|
22,063 | 22,034 | ||||||
SWIRE PACIFIC 'A' HKD0.60
|
Common stock
|
58,286 | 57,948 | ||||||
SWISS LIKE HOLDINGS AG
|
Common stock
|
24,675 | 24,756 | ||||||
SYNGENTA AG REG CHF0.1
|
Common stock
|
60,597 | 61,257 | ||||||
SYSMEX CORP
|
Common stock
|
11,440 | 11,356 | ||||||
T&D HOLDINGS INC
|
Common stock
|
9,902 | 9,647 | ||||||
TABCORP HOLDINGS LTD
|
Common stock
|
49,019 | 49,831 | ||||||
TAISEI CORP
|
Common stock
|
33,248 | 32,485 | ||||||
TALISMAN ENERGY IN COM
|
Common stock
|
44,732 | 44,618 | ||||||
TASEKO MINES LTD SR NT 7.75%
|
Corporate bond
|
75,000 | 76,968 | ||||||
TECHNIP NPV
|
Common stock
|
62,237 | 62,508 | ||||||
TECK RESOURCES LIMITED
|
Common stock
|
45,542 | 47,197 | ||||||
TEIJIN LTD
|
Common stock
|
31,862 | 31,200 | ||||||
TELSTRA CORP LTD
|
Common stock
|
95,532 | 96,516 | ||||||
TELUS CORP COM
|
Common stock
|
7,869 | 7,963 | ||||||
TELUS CORP NON VOTING SHS
|
Common stock
|
15,102 | 15,377 | ||||||
TENARIS S.A. USD1
|
Common stock
|
49,269 | 49,194 | ||||||
TERNA SPA ORD EUR0.22
|
Common stock
|
32,355 | 32,170 | ||||||
TERUMO CORP
|
Common stock
|
50,564 | 49,897 | ||||||
TESCO ORD GBP0.05
|
Common stock
|
62,872 | 63,107 | ||||||
TEVA PHARMA IND ILS0.1
|
Common stock
|
135,481 | 135,335 | ||||||
THALES SA EUR3
|
Common stock
|
68,027 | 67,530 | ||||||
THK CO LTD
|
Common stock
|
16,642 | 16,233 | ||||||
THOMAS COOK GROUP ORD EUR0.10
|
Common stock
|
38,404 | 39,553 | ||||||
THOMAS-REUTERS CO COM
|
Common stock
|
36,787 | 36,840 | ||||||
THYSSENKRUPP AG
|
Common stock
|
48,860 | 49,784 | ||||||
TIM HORTONS INC
|
Common stock
|
20,286 | 20,463 | ||||||
TMX GROUP INC
|
Common stock
|
10,949 | 11,094 | ||||||
TNT NV EUR0.48
|
Common stock
|
83,382 | 85,011 | ||||||
TOBU RAILWAY CO Y50
|
Common stock
|
17,177 | 17,206 | ||||||
TOHOKU ELEC POWER
|
Common stock
|
75,557 | 75,637 | ||||||
TOKUYAMA CORP
|
Common stock
|
23,954 | 23,629 | ||||||
TOKYO ELEC POWER
|
Common stock
|
80,214 | 80,101 | ||||||
TOKYO STEEL MFG
|
Common stock
|
10,348 | 10,592 | ||||||
TOLL HLDGS LTD
|
Common stock
|
39,485 | 39,595 | ||||||
TOMKINS ORD USD0.09
|
Common stock
|
53,027 | 52,924 | ||||||
TORAY INDS INC
|
Common stock
|
15,065 | 15,072 | ||||||
TORONTO-DOMINION COM
|
Common stock
|
163,107 | 162,441 |
(a)
Identity of Issuer, Borrower,
Lessor or Similar Party
|
(b)
Description of Investment
|
(c)
Cost of
Acquisition
|
(d)
Proceeds of
Dispositions
|
||||||
TOSHIBA CORP
|
Common stock
|
41,282 | 40,743 | ||||||
TOTAL EUR2.5
|
Common stock
|
59,856 | 398,257 | ||||||
TOTO LTD NPV
|
Common stock
|
26,644 | 26,657 | ||||||
TOYO SUISAN KAISHA
|
Common stock
|
23,516 | 23,010 | ||||||
TOYOTA INDUSTRIES
|
Common stock
|
10,819 | 10,535 | ||||||
TRANSLATA CORP MTN
|
Common stock
|
9,931 | 9,925 | ||||||
TRANSCANADA CORP
|
Common stock
|
65,410 | 66,350 | ||||||
TRANSOCEAN INC SR NT CONV SER A 1.625%
|
Corporate bond
|
96,300 | 95,000 | ||||||
TRANSOCEAN INC SR NT CONV SER B 1.5%
|
Corporate bond
|
112,969 | 116,406 | ||||||
TRANSOCEAN INC SR NT CONV SER C 1.5%
|
Corporate bond
|
102,875 | 109,687 | ||||||
TRANSURBAN GROUP STAPLED UNITS
|
Common stock
|
9,809 | 9,882 | ||||||
TUI TRAVEL PLC ORD GBP0.10
|
Common stock
|
10,042 | 10,300 | ||||||
UBS AG CHF0.10
|
Common stock
|
65,202 | 157,316 | ||||||
UNICHARM CORP
|
Common stock
|
11,683 | 11,838 | ||||||
UNILEVER PLC ORD GBP0.031111
|
Common stock
|
125,956 | 127,985 | ||||||
UNIONE DI BANCHE EUR2.50
|
Common stock
|
45,984 | 45,542 | ||||||
UNITED INTERNET AG
|
Common stock
|
18,111 | 18,049 | ||||||
UNITED UTILITIES GROUP ORD GBP0.05
|
Common stock
|
44,686 | 44,676 | ||||||
UNY CO JPY50
|
Common stock
|
10,845 | 10,791 | ||||||
UPM-KYMMENE CORP
|
Common stock
|
63,065 | 161,319 | ||||||
USHIO INC
|
Common stock
|
11,443 | 11,329 | ||||||
UTD O/S BANK
|
Common stock
|
14,163 | 14,015 | ||||||
VALLOUREC(USIN A T EUR2.0)
|
Common stock
|
31,797 | 32,279 | ||||||
VINCI EUR2.50
|
Common stock
|
63,964 | 64,770 | ||||||
VITERRA INC
|
Common stock
|
10,101 | 10,261 | ||||||
VIVENDI SA EUR5.50
|
Common stock
|
63,316 | 64,089 | ||||||
VOESTALPINE AG NPV
|
Common stock
|
35,479 | 36,234 | ||||||
VOLKSWAGEN AG NON VTG
|
Common stock
|
18,675 | 18,765 | ||||||
VOLKSWAGEN AG ORD
|
Common stock
|
38,030 | 37,949 | ||||||
WESFARMERS LTD
|
Common stock
|
36,326 | 36,656 | ||||||
WESFARMERS LTD NPV PPS
|
Common stock
|
9,993 | 10,074 | ||||||
WEST JAPAN RAILWAY
|
Common stock
|
65,872 | 65,244 | ||||||
WESTFIELD GROUP NPV STAPLED UNITS
|
Common stock
|
36,480 | 37,025 | ||||||
WESTPAC BKG CORP
|
Common stock
|
153,174 | 156,407 | ||||||
WHEELOCK & CO HKD0.50
|
Common stock
|
11,447 | 11,474 | ||||||
WHITBREAD ORD GBP0.76797385
|
Common stock
|
65,455 | 65,593 | ||||||
WILMAR INTERNATIONAL LTD
|
Common stock
|
31,266 | 31,276 | ||||||
WMG ACQSTN CORP 9.5%
|
Corporate bond
|
136,250 | 347,156 | ||||||
WOODSIDE PETROLEUM
|
Common stock
|
39,359 | 39,322 | ||||||
WOOLWORTHS LTD
|
Common stock
|
21,436 | 21,391 | ||||||
WPP PLC ORD GBP 0.10
|
Common stock
|
86,739 | 89,484 | ||||||
XSTRATA PLC ORD
|
Common stock
|
86,263 | 89,278 | ||||||
YAHOO JAPAN CORP
|
Common stock
|
50,738 | 50,338 | ||||||
YAKULT HONSHA CO
|
Common stock
|
14,223 | 14,155 | ||||||
YAMADA DENKI CO LTD
|
Common stock
|
50,515 | 50,640 | ||||||
YAMANA GOLD INC
|
Common stock
|
17,852 | 17,936 | ||||||
YAMATO KOGYO CO
|
Common stock
|
17,156 | 17,070 | ||||||
YOKOGAWA ELECTRIC
|
Common stock
|
28,835 | 28,123 | ||||||
1ST QUANTUM MINLS COM NPV
|
Common stock
|
11,834 | 12,347 |
NIKE, Inc., 401(k) Savings and Profit Sharing Plan | |||
Date; November 23, 2011
|
By:
|
/s/ Kelley Hall | |
Kelley Hall | |||
Chairperson, NIKE, Inc. Retirement Committee | |||