Page No.
|
||
(a)
|
Report of Independent Registered Public Accounting Firm
|
3
|
(b)
|
Financial Statements
|
|
Statements of Net Assets Available for Benefits
|
4
|
|
Statement of Changes in Net Assets Available for Benefits
|
5
|
|
Notes to Financial Statements
|
6-15
|
|
(c)
|
Supplemental Schedule *
|
|
Schedule H, Part IV, Line 4(i) – Schedule of Assets (Held at End of Year)
|
16-21
|
|
(d)
|
Signature
|
22
|
(e)
|
Exhibit (23.1) Consent of Independent Registered Public Accounting Firm
|
As of December 30,
|
||||||||
2010
|
2009
|
|||||||
ASSETS
|
||||||||
Investments at Fair Value (including securities on loan of $1,689,170 and $1,292,983 as of December 30, 2010 and 2009, respectively)
|
$ | 6,697,035 | $ | 6,602,926 | ||||
Restricted Collateral for Loaned Securities
|
1,724,579 | 1,320,972 | ||||||
Receivables:
|
||||||||
Dividends and Interest
|
15,608 | 16,615 | ||||||
Employer Contributions
|
664 | - | ||||||
Notes Receivable from Participants
|
25,065 | 26,060 | ||||||
Securities Sold
|
- | 3,315 | ||||||
Other Receivables
|
- | 158 | ||||||
Total Receivables
|
41,337 | 46,148 | ||||||
Total Assets
|
$ | 8,462,951 | $ | 7,970,046 | ||||
LIABILITIES
|
||||||||
Accounts Payable and Accrued Expenses
|
$ | 904 | $ | 3,167 | ||||
Payable for Collateral on Loaned Securities
|
1,724,579 | 1,320,972 | ||||||
Total Liabilities
|
1,725,483 | 1,324,139 | ||||||
Net Assets Available for Benefits at Fair Value
|
6,737,468 | 6,645,907 | ||||||
|
||||||||
Adjustment from Fair Value to Contract Value for Interest in Fully Benefit-Responsive Investment Contracts
|
(102,152 | ) | (96,311 | ) | ||||
|
||||||||
Net Assets Available for Benefits
|
$ | 6,635,316 | $ | 6,549,596 | ||||
For the Fiscal Year Ended December 30, 2010
|
||||
ADDITIONS TO NET ASSETS ATTRIBUTED TO:
|
||||
Earnings on Investments:
|
||||
Interest and Dividends from Investments
|
$ | 195,493 | ||
Net Appreciation in Fair Value of Investments
|
230,454 | |||
Total earnings on investments
|
425,947 | |||
Contributions:
|
||||
Employer Contributions
|
10,632 | |||
Participants’ Contributions
|
71,872 | |||
Participants’ Rollover Contributions
|
70,549 | |||
Total Contributions
|
153,053 | |||
Interest Income on Notes Receivable from Participants
|
1,034 | |||
Total Additions
|
580,034 | |||
DEDUCTIONS FROM NET ASSETS ATTRIBUTED TO:
|
||||
Benefits Paid to Participants
|
(491,881 | ) | ||
Administrative Expenses
|
(2,433 | ) | ||
Total Deductions
|
(494,314 | ) | ||
Net Increase in Net Assets Available for Benefits
|
85,720 | |||
Net Assets Available for Benefits at Beginning of Year
|
6,549,596 | |||
Net Assets Available for Benefits at End of Year
|
$ | 6,635,316 | ||
Issuer
|
Contract Rate
|
Maturity Date
|
John Hancock Mutual Life
|
6.79%
|
07/05/11
|
Issuer/Wrapper
|
Inception Date
|
Commonwealth General Corp (AEGON)
|
2001
|
JP Morgan Chase
|
2001
|
State Street Bank & Trust
|
2004
|
Pacific Life Insurance Company
|
2008
|
Average yields for GIC and SICs
|
2010
|
2009
|
Based on actual earnings
|
2.50%
|
3.12%
|
Based on interest rate credited to participants
|
4.27%
|
4.49%
|
·
|
Level 1 inputs are quoted prices (unadjusted) in active markets for identical assets or liabilities that the reporting entity has the ability to access at the measurement date.
|
·
|
Level 2 inputs are inputs, other than quoted prices included within Level 1, which are observable for the asset or liability, either directly or indirectly.
|
·
|
Level 3 inputs are unobservable inputs.
|
(in thousands)
|
Total As of
|
Quoted Prices in Active Markets for Identical Assets
|
Significant Other Observable Inputs
|
Unobservable Inputs
|
||||||||||||
Description
|
December 30, 2010
|
(Level 1)
|
(Level 2)
|
(Level 3)
|
||||||||||||
Financial Assets
|
||||||||||||||||
Common/collective trusts
|
$ | 1,856,182 | $ | - | $ | 1,856,182 | $ | - | ||||||||
Fixed income fund - U.S. government securities
|
2,103,330 | - | 2,103,330 | - | ||||||||||||
Fixed income fund - Corporate debt instruments
|
1,746,383 | - | 1,746,383 | - | ||||||||||||
Fixed income fund - Other investments
|
148,187 | - | 148,187 | - | ||||||||||||
Fixed income fund - Common collective trust
|
83,060 | - | 83,060 | - | ||||||||||||
Fixed income fund - Cash and Receivables
|
112,253 | - | 112,253 | - | ||||||||||||
Fixed income fund - Liabilities for pending settlements
|
(156,810 | ) | - | (156,810 | ) | - | ||||||||||
Fixed income fund - Group annuity contract
|
500,572 | - | - | 500,572 | ||||||||||||
Fixed income fund - NISA/AEGON (Wrapper)
|
9,737 | - | - | 9,737 | ||||||||||||
Mutual funds
|
263,866 | 263,866 | - | - | ||||||||||||
Common stock
|
30,275 | 30,275 | - | - | ||||||||||||
Total
|
$ | 6,697,035 | $ | 294,141 | $ | 5,892,585 | $ | 510,309 | ||||||||
(in thousands)
|
Total As of
|
Quoted Prices in Active Markets for Identical Assets
|
Significant Other Observable Inputs
|
Unobservable Inputs
|
||||||||||||
Description
|
December 30, 2009
|
(Level 1)
|
(Level 2)
|
(Level 3)
|
||||||||||||
Financial Assets
|
||||||||||||||||
Common/collective trusts
|
$ | 1,710,058 | $ | - | $ | 1,710,058 | $ | - | ||||||||
Fixed income fund - U.S. government securities
|
1,818,091 | - | 1,818,091 | - | ||||||||||||
Fixed income fund - Corporate debt instruments
|
1,843,001 | - | 1,843,001 | - | ||||||||||||
Fixed income fund - Other investments
|
58,023 | - | 58,023 | - | ||||||||||||
Fixed income fund - Common collective trust
|
325,561 | - | 325,561 | - | ||||||||||||
Fixed income fund - Liabilities for pending settlements
|
(27,227 | ) | - | (27,227 | ) | - | ||||||||||
Fixed income fund - Group annuity contracts
|
598,682 | - | - | 598,682 | ||||||||||||
Fixed income fund - NISA/AEGON (Wrapper)
|
4,862 | - | - | 4,862 | ||||||||||||
Mutual funds
|
249,796 | 249,796 | - | - | ||||||||||||
Common stock
|
22,079 | 22,079 | - | - | ||||||||||||
Total
|
$ | 6,602,926 | $ | 271,875 | $ | 5,727,507 | $ | 603,544 |
Level 3 Assets for the Year Ended
December 30, 2010
|
||||
(in thousands)
|
Group Annuity Contract
|
NISA/AEGON (Wrapper)
|
||
Balance, December 31, 2009
|
$ 598,682
|
$ 4,862
|
||
Interest credited | 35,189 | - | ||
Unrealized (losses) gains relating to assets still held at December 30, 2010
|
(21,663)
|
4,875
|
||
Purchases, sales, issuances, and settlements, net
|
(111,636)
|
-
|
||
Balance, December 30, 2010
|
$ 500,572
|
$ 9,737
|
||
Eastman Kodak Company Common Stock
|
$ | 7,149 | ||
Interest in Common Collective Trust Funds
|
188,653 | |||
Mutual Funds
|
34,529 | |||
Other
|
123 | |||
$ | 230,454 | |||
Fair
|
|||
|
Maturity
|
Interest
|
Value
|
Investment
|
Date
|
Rate
|
(in thousands)
|
2010
|
|||
John Hancock Mutual Life Ins. GIC
|
7/5/2011
|
6.79%
|
$ 500,572
|
2009
|
|||
John Hancock Mutual Life Ins. GIC
|
7/5/2011
|
6.79%
|
$ 491,090
|
2010
|
2009
|
|||||||
Net Assets Available for Benefits (per the Financial Statements)
|
$ | 6,635,316 | $ | 6,549,596 | ||||
Adjustment from contract value to fair value for interest in fully benefit-responsive investment contracts
|
102,152 | 96,311 | ||||||
Net Assets Available for Benefits (per the Form 5500)
|
$ | 6,737,468 | $ | 6,645,907 | ||||
Net Increase in Net Assets Available for Benefits (per the Financial Statements)
|
$ | 85,720 | ||||||
Change in adjustment from contract value to fair value for interest in fully benefit-responsive investment contracts
|
5,841 | |||||||
Net Income (per the Form 5500)
|
$ | 91,561 | ||||||
Maturity
|
Interest
|
Current
|
|
Description
|
Date
|
Rate
|
Value
|
FIXED INCOME FUND
|
|||
Group Annuity Contract:
|
|||
JOHN HANCOCK MUTUAL LIFE INSURANCE CO
|
07/05/11
|
6.7900%
|
$ 500,572
|
Investment Contract:
|
|||
NISA/AEGON (WRAPPER)
|
4.0600%
|
$ 9,737
|
|
U.S. Government Securities:
|
|||
FEDERAL FARM CR BK CONS BD
|
8/25/11-02/21/13
|
1.7500%-3.8750%
|
$ 11,115
|
FEDERAL HOME LN BK CONS BD
|
7/27/11-06/21/13
|
1.6250%-5.7500%
|
60,137
|
FEDERAL HOME LN MTG CORP
|
01/15/12-10/28/13
|
0.3750%-5.7500%
|
103,052
|
FEDERAL NATL MTG ASSN
|
04/20/12-10/15/13
|
1.2500%-6.1250%
|
101,564
|
FEDERAL NAT MTG ASSN MTN
|
10/30/12
|
0.5000%
|
17,445
|
FHLMC MULTICLASS MTG 3128 BA
|
01/15/24
|
5.0000%
|
86
|
FNMA GTG REMIC P/T 06-51 PA
|
02/25/30
|
5.5000%
|
856
|
US CENTRAL FEDERAL CREDIT UNIO
|
10/19/12
|
1.9000%
|
6,656
|
U.S. TREASURY BONDS
|
10/31/11-8/15/40
|
0.0000%-5.3750%
|
1,802,419
|
Total U.S. Government Securities
|
$ 2,103,330
|
||
Corporate Debt Instruments:
|
|||
ABBOTT LABORATORIES
|
11/30/37
|
6.1500%
|
$ 1,066
|
ABBOTT LABORATORIES
|
04/01/39
|
6.0000%
|
1,293
|
ACE INA HOLDINGS
|
11/23/15
|
2.6000%
|
1,428
|
AEP TEXAS CENTRAL TRANSIT 1 A5
|
01/15/17
|
6.2500%
|
5,546
|
AEP TEXAS CENTRAL TRANSIT A A3
|
07/01/17
|
5.0900%
|
3,185
|
AEP TEXAS CENTRAL TRANSIT A A5
|
07/01/20
|
5.3060%
|
4,038
|
AEP TEXAS CENTRAL TRANSIT A A4
|
01/01/18
|
5.1700%
|
2,184
|
AEP TEXAS NORTH CO
|
03/01/13
|
5.5000%
|
328
|
AETNA INC NEW SR NT
|
12/15/37
|
6.7500%
|
390
|
AETNA INC
|
06/15/36
|
6.6250%
|
360
|
AETNA INC
|
09/01/20
|
3.9500%
|
2,011
|
AFFILIATED COMPUTER SERVICES
|
06/01/15
|
5.2000%
|
532
|
AGILENT TECHNOLOGIES INC
|
09/14/12
|
4.4500%
|
1,718
|
AGILENT TECHNOLOGIES INC
|
07/15/20
|
5.0000%
|
2,219
|
AIG LIFE HOLDINGS US INC
|
02/15/29
|
6.6250%
|
511
|
ALCOA INC
|
02/23/19
|
5.7200%
|
2,101
|
ALCOA INC
|
02/23/22
|
5.8700%
|
2,569
|
ALLIED WORLD INSURANCE
|
11/15/20
|
5.5000%
|
1,757
|
ALLSTATE CORP
|
05/09/35
|
5.5500%
|
1,485
|
ALLTEL CORP
|
07/01/12
|
7.0000%
|
2,149
|
ALLTEL CORP
|
07/01/32
|
7.8750%
|
1,487
|
ALLTEL CORP
|
07/01/32
|
7.8750%
|
1,089
|
ALLY AUTO RECEIVABLES TRU 1 A4
|
12/15/14
|
2.3000%
|
3,314
|
ALLY AUTO RECEIVABLES TRU 2 A3
|
07/15/14
|
1.3800%
|
2,363
|
ALLY FINANCIAL INC
|
10/30/12
|
1.7500%
|
13,161
|
ALLY FINANCIAL INC
|
12/19/12
|
2.2000%
|
12,853
|
ALTRIA GROUP INC
|
11/10/38
|
9.9500%
|
1,577
|
ALTRIA GROUP INC
|
02/06/39
|
10.2000%
|
1,655
|
ALTRIA GROUP INC
|
08/06/19
|
9.2500%
|
1,517
|
ALTRIA GROUP INC
|
11/10/13
|
8.5000%
|
1,433
|
ALTRIA GROUP INC
|
02/06/39
|
10.2000%
|
1,876
|
AMERICA MOVIL SAB DE CV
|
01/15/15
|
5.7500%
|
1,843
|
AMERICA MOVIL SAB DE CV
|
03/01/35
|
6.3750%
|
1,737
|
AMERICAN EXPRESS CO
|
03/19/18
|
7.0000%
|
263
|
AMERICAN EXPRESS CO
|
05/20/19
|
8.1250%
|
4,430
|
AMERICAN INTERNATIONAL GROUP I
|
10/18/16
|
5.6000%
|
1,980
|
AMERICAN INTERNATIONAL GROUP I
|
10/01/15
|
5.0500%
|
1,963
|
AMERICAN INTERNATIONAL GROUP I
|
08/15/18
|
8.2500%
|
1,913
|
AMERIPRISE FINANCIAL INC
|
03/15/20
|
5.3000%
|
1,593
|
AMGEN INC
|
10/01/41
|
4.9500%
|
2,009
|
ANGLOGOLD ASHANTI HOLDINGS PLC
|
04/15/40
|
6.5000%
|
3,754
|
ANHEUSER-BUSCH COS INC
|
11/01/41
|
6.0000%
|
465
|
ANHEUSER-BUSCH INBEV WORLDWIDE
|
01/15/15
|
4.1250%
|
5,034
|
ANHEUSER-BUSCH INBEV WORLDWIDE
|
01/15/20
|
5.3750%
|
3,529
|
AON CORP
|
09/30/40
|
6.2500%
|
776
|
AON CORP
|
09/30/20
|
5.0000%
|
826
|
APACHE CORP
|
07/01/19
|
7.6250%
|
3,120
|
ARCELORMITTAL
|
06/01/18
|
6.1250%
|
3,199
|
ASSOCIATES CORP OF NORTH AMERI
|
11/01/18
|
6.9500%
|
3,623
|
ASSURANT INC
|
02/15/14
|
5.6250%
|
568
|
ASSURANT INC
|
02/15/34
|
6.7500%
|
1,497
|
ASTRAZENECA PLC
|
09/15/17
|
5.9000%
|
1,171
|
AT&T INC
|
09/01/37
|
6.5000%
|
4,547
|
AT&T INC
|
01/15/38
|
6.3000%
|
284
|
AT&T INC
|
09/01/37
|
6.5000%
|
2,584
|
AVALONBAY COMMUNITIES INC
|
03/15/13
|
4.9500%
|
3,130
|
AXIS SPECIALTY FINANCE LLC
|
06/01/20
|
5.8750%
|
2,920
|
BA CREDIT CARD TRUST A1 A1
|
06/15/19
|
VAR RT
|
7,630
|
BAKER HUGHES INC
|
09/15/40
|
5.1250%
|
481
|
BANK AMER CORP SUB NT
|
01/15/11
|
7.4000%
|
673
|
BANK OF AMERICA AUTO TRUS 2 A4
|
06/15/17
|
1.9400%
|
4,037
|
BANK OF AMERICA CORP
|
09/01/17
|
6.0000%
|
1,932
|
BANK OF AMERICA CORP
|
09/15/37
|
6.5000%
|
788
|
BANK OF AMERICA CORP
|
12/01/17
|
5.7500%
|
2,355
|
BANK OF AMERICA CORP
|
05/01/13
|
4.9000%
|
987
|
BANK OF AMERICA CORP
|
10/15/11
|
7.1250%
|
659
|
BANK OF AMERICA CORP
|
06/15/14
|
5.3750%
|
736
|
BANK OF AMERICA CORP
|
08/15/11
|
5.3750%
|
2,726
|
BANK OF AMERICA CORP
|
12/01/17
|
5.7500%
|
3,126
|
BANK OF AMERICA CORP
|
08/01/16
|
6.5000%
|
89
|
BANK OF AMERICA CORP
|
07/01/20
|
5.6250%
|
11,143
|
BANK OF AMERICA CORP
|
06/15/12
|
3.1250%
|
5,805
|
BANK OF AMERICA CORP
|
04/30/12
|
2.1000%
|
4,607
|
**BANK OF NEW YORK MELLON CORP/T
|
04/01/13
|
4.5000%
|
5,023
|
**BANK OF NEW YORK MELLON CORP/T
|
08/27/13
|
5.1250%
|
1,112
|
BANK ONE CORP
|
10/15/26
|
7.6250%
|
1,493
|
BANK ONE CORP
|
01/30/13
|
5.2500%
|
1,002
|
BARCLAYS BANK PLC
|
05/22/19
|
6.7500%
|
4,170
|
BARCLAYS BANK PLC
|
01/08/20
|
5.1250%
|
987
|
BARCLAYS BANK PLC
|
07/10/14
|
5.2000%
|
827
|
BARRICK NORTH AMERICA FINANCE
|
09/15/18
|
6.8000%
|
1,476
|
BARRICK PD AUSTRALIA FINANCE P
|
10/15/39
|
5.9500%
|
95
|
BEAR STEARNS COMMERCI PW16 AAB
|
06/11/40
|
VAR RT
|
4,251
|
BEAR STEARNS COMMERCIA PW13 A3
|
09/11/41
|
5.5180%
|
2,356
|
BEAR STEARNS COS LLC/THE
|
02/01/12
|
5.3500%
|
2,138
|
BEAR STEARNS COS LLC/THE
|
10/02/17
|
6.4000%
|
1,717
|
BELLSOUTH CORP
|
06/15/34
|
6.5500%
|
3,548
|
BELLSOUTH TELECOMMUNICATIONS I
|
06/01/28
|
6.3750%
|
889
|
BESTFOODS
|
12/15/26
|
7.2500%
|
686
|
BLACKROCK INC
|
12/10/14
|
3.5000%
|
2,021
|
BLACKROCK INC
|
12/10/12
|
2.2500%
|
685
|
BMW VEHICLE LEASE TRUST 1 A3
|
03/15/12
|
2.9100%
|
757
|
BMW VEHICLE LEASE TRUST 1 A4
|
01/15/14
|
0.9600%
|
3,799
|
BMW VEHICLE OWNER TRUST A A4
|
10/25/16
|
2.1000%
|
5,095
|
BP CAPITAL MARKETS PLC
|
11/07/13
|
5.2500%
|
3,704
|
BP CAPITAL MARKETS PLC
|
10/01/15
|
3.1250%
|
2,938
|
BURLINGTON NORTHERN SANTA FE L
|
05/01/40
|
5.7500%
|
2,412
|
BURLINGTON NORTHERN SANTA FE L
|
06/01/36
|
7.2900%
|
575
|
BURLINGTON NORTHERN SANTA FE L
|
03/15/18
|
5.7500%
|
1,770
|
BURLINGTON NORTHERN SANTA FE L
|
05/01/17
|
5.6500%
|
1,821
|
CAMERON INTERNATIONAL CORP
|
07/15/38
|
7.0000%
|
767
|
CAPITAL AUTO RECEIVABLES A 2 B
|
12/15/11
|
5.0700%
|
261
|
CAPITAL ONE FINANCIAL CORP
|
09/01/16
|
6.1500%
|
5,605
|
CAPITAL ONE FINANCIAL CORP
|
09/15/11
|
5.7000%
|
1,506
|
CAPITAL ONE FINANCIAL CORP
|
05/23/14
|
7.3750%
|
4,867
|
CAPITAL ONE MULTI-ASSET A3 A3
|
12/17/18
|
5.0500%
|
4,760
|
CAPITAL ONE MULTI-ASSET A7 A7
|
06/15/15
|
4.7000%
|
3,314
|
CAPITAL ONE MULTI-ASSET A7 A7
|
07/15/20
|
5.7500%
|
7,712
|
CAREFUSION CORP
|
08/01/14
|
5.1250%
|
2,338
|
CARMAX AUTO OWNER TRUST 2 A3
|
02/16/15
|
1.4100%
|
5,185
|
CAROLINA POWER & LIGHT CO
|
07/15/12
|
6.5000%
|
1,395
|
CAROLINA POWER & LIGHT CO
|
12/15/15
|
5.2500%
|
829
|
CATERPILLAR FINANCIAL SERVICES
|
02/17/14
|
6.1250%
|
3,436
|
CATERPILLAR FINANCIAL SERVICES
|
12/17/12
|
1.9000%
|
777
|
CBS CORP
|
10/15/40
|
5.9000%
|
2,080
|
CELLCO PARTNERSHIP / VERIZON W
|
11/15/18
|
8.5000%
|
394
|
CELLCO PARTNERSHIP / VERIZON W
|
02/01/14
|
5.5500%
|
1,911
|
CELLCO PARTNERSHIP / VERIZON W
|
11/15/18
|
8.5000%
|
690
|
CENOVUS ENERGY INC
|
11/15/39
|
6.7500%
|
2,862
|
CENTERPOINT ENERGY HOUSTON ELE
|
03/01/14
|
7.0000%
|
1,752
|
CENTERPOINT ENERGY HOUSTON ELE
|
07/01/23
|
5.6000%
|
1,803
|
CENTERPOINT ENERGY RESOURCES C
|
05/15/18
|
6.0000%
|
2,267
|
CENTERPOINT ENERGY TRANSI 1 A1
|
08/15/39
|
1.9900%
|
994
|
CENTERPOINT ENERGY TRANSI 1 A2
|
08/15/18
|
3.5790%
|
6,233
|
CENTERPOINT ENERGY TRANSI 1 A3
|
08/15/23
|
4.2430%
|
2,311
|
CENTERPOINT ENERGY TRANSI A A4
|
08/01/19
|
5.1700%
|
1,750
|
CHASE ISSUANCE TRUST A17 A
|
10/15/14
|
5.1200%
|
441
|
CHASE ISSUANCE TRUST A2 A2
|
04/16/18
|
5.1600%
|
1,172
|
CHASE ISSUANCE TRUST A3 A3
|
04/15/19
|
5.2300%
|
6,904
|
CHASE ISSUANCE TRUST A4 A4
|
03/15/15
|
4.6500%
|
3,229
|
CHUBB CORP
|
05/11/37
|
6.0000%
|
4,747
|
CINCINNATI FINANCIAL CORP
|
11/01/34
|
6.1250%
|
807
|
CINTAS CORP NO 2
|
08/15/36
|
6.1500%
|
973
|
CISCO SYSTEMS INC
|
01/15/40
|
5.5000%
|
5,997
|
CISCO SYSTEMS INC
|
02/15/39
|
5.9000%
|
1,333
|
CIT EQUIPMENT COLLATERA VT1 A3
|
08/22/11
|
6.5900%
|
620
|
CITIBANK CREDIT CARD ISS A1 A1
|
02/07/20
|
5.3500%
|
7,864
|
CITIBANK CREDIT CARD ISS A8 A8
|
09/20/19
|
5.6500%
|
7,688
|
CITIBANK NA
|
12/28/12
|
1.7500%
|
16,304
|
CITIBANK NA
|
08/10/11
|
1.3750%
|
3,540
|
CITIBANK OMNI MASTER T A17 A17
|
11/15/18
|
4.9000%
|
7,962
|
CITIGROUP FUNDING INC
|
10/22/12
|
1.8750%
|
14,319
|
CITIGROUP FUNDING INC
|
11/15/12
|
1.8750%
|
10,217
|
CITIGROUP FUNDING INC
|
07/12/12
|
2.1250%
|
2,580
|
CITIGROUP FUNDING INC
|
12/10/12
|
2.2500%
|
4,116
|
CITIGROUP INC
|
10/31/33
|
6.0000%
|
197
|
CITIGROUP INC
|
08/25/36
|
6.1250%
|
1,386
|
CITIGROUP INC
|
08/15/17
|
6.0000%
|
6,617
|
CITIGROUP INC
|
03/05/38
|
6.8750%
|
1,560
|
CITIGROUP INC
|
07/15/39
|
8.1250%
|
1,917
|
CITIGROUP INC
|
08/12/14
|
6.3750%
|
2,351
|
CITIGROUP INC
|
08/09/20
|
5.3750%
|
1,626
|
CITIGROUP INC
|
10/17/12
|
5.3000%
|
6,843
|
CITIGROUP INC
|
10/15/14
|
5.5000%
|
1,467
|
CITIGROUP INC
|
05/19/15
|
4.7500%
|
2,121
|
CITIGROUP INC
|
12/09/11
|
2.8750%
|
3,587
|
CITIGROUP INC
|
04/30/12
|
2.1250%
|
5,118
|
CLIFFS NATURAL RESOURCES INC
|
10/01/20
|
4.8000%
|
3,843
|
CLIFFS NATURAL RESOURCES INC
|
03/15/20
|
5.9000%
|
1,492
|
CLOROX CO
|
10/15/12
|
5.4500%
|
1,879
|
CNA FINANCIAL CORP
|
08/15/20
|
5.8750%
|
1,708
|
CNH EQUIP TR 09-A CL A-4
|
12/16/13
|
7.2100%
|
2,697
|
CNH EQUIPMENT TRUST 2010-C A4
|
05/16/16
|
1.5900%
|
1,962
|
CNH EQUIPMENT TRUST A A4
|
01/15/16
|
2.4900%
|
7,660
|
CNH EQUIPMENT TRUST B A4
|
10/15/14
|
5.1700%
|
7,374
|
CNH EQUIPMENT TRUST B A4
|
01/17/17
|
1.7400%
|
5,452
|
CNH EQUIPMENT TRUST B A4A
|
11/17/14
|
5.6000%
|
1,033
|
CNH EQUIPMENT TRUST C A4
|
08/17/15
|
3.0000%
|
4,379
|
COCA-COLA CO/THE
|
11/15/20
|
3.1500%
|
1,023
|
Maturity
|
Interest
|
Current
|
|
Description
|
Date
|
Rate
|
Value
|
COCA-COLA FEMSA SAB DE CV
|
02/15/20
|
4.6250%
|
972
|
COMCAST CABLE COMMUNICATIONS H
|
03/15/13
|
8.3750%
|
8,217
|
COMCAST CABLE COMMUNICATIONS L
|
06/15/13
|
7.1250%
|
1,377
|
COMCAST CORP
|
06/15/35
|
5.6500%
|
862
|
COMCAST CORP
|
06/15/16
|
4.9500%
|
2,304
|
COMCAST CORP
|
01/15/17
|
6.5000%
|
5,393
|
COMCAST CORP
|
08/15/37
|
6.9500%
|
1,562
|
COMCAST CORP
|
11/15/35
|
6.5000%
|
1,259
|
COMCAST CORP
|
07/01/39
|
6.5500%
|
2,547
|
COMMIT TO PUR FNMA SF MTG
|
01/01/41
|
4.5000%
|
30,683
|
COMMONWEALTH REIT
|
01/15/13
|
6.5000%
|
1,189
|
COMMONWEALTH REIT
|
08/15/16
|
6.2500%
|
1,516
|
CONAGRA FOODS INC
|
10/01/26
|
7.1250%
|
349
|
CONOCOPHILLIPS
|
10/15/12
|
4.7500%
|
1,852
|
CONOCOPHILLIPS
|
10/15/32
|
5.9000%
|
764
|
CONOCOPHILLIPS
|
02/01/19
|
5.7500%
|
776
|
CONOCOPHILLIPS
|
02/01/39
|
6.5000%
|
2,000
|
CONSOLIDATED NATURAL GAS CO
|
12/01/14
|
5.0000%
|
610
|
CONSTELLATION ENERGY GROUP INC
|
04/01/32
|
7.6000%
|
1,311
|
CONSUMER FUNDING LLC 1 A6
|
10/20/16
|
5.7600%
|
8,026
|
CONSUMERS ENERGY CO
|
03/15/15
|
5.0000%
|
870
|
CONTINENTAL AIRLINES INC
|
07/08/16
|
9.0000%
|
2,252
|
COUNTRYWIDE FINANCIAL CORP
|
06/07/12
|
5.8000%
|
3,394
|
COVIDIEN INTERNATIONAL FINANCE
|
10/15/17
|
6.0000%
|
4,580
|
COX COMMUNICATIONS INC
|
10/01/12
|
7.1250%
|
7,630
|
CREDIT SUISSE AG
|
01/14/20
|
5.4000%
|
2,034
|
CREDIT SUISSE MORTGAGE C C1 A4
|
02/15/39
|
VAR RT
|
5,051
|
CREDIT SUISSE MORTGAGE C C2 A3
|
03/15/39
|
VAR RT
|
5,469
|
CREDIT SUISSE/NEW YORK NY
|
02/15/18
|
6.0000%
|
3,017
|
CSX CORP
|
05/01/17
|
5.6000%
|
1,073
|
CSX CORP
|
04/01/15
|
6.2500%
|
9,169
|
CURATORS UNIV MO SYS FACS REV
|
11/01/39
|
5.9600%
|
604
|
CVS CAREMARK CORP
|
06/01/17
|
5.7500%
|
5,096
|
DAIMLER CHRYSLER AUTO TRU D A4
|
02/08/12
|
4.9400%
|
161
|
DAIMLER FINANCE NORTH AMERICA
|
09/08/11
|
5.7500%
|
3,601
|
DETROIT EDISON SECURITIZA 1 A5
|
03/01/15
|
6.4200%
|
5,576
|
DETROIT EDISON SECURITIZA 1 A6
|
03/01/16
|
6.6200%
|
3,595
|
DEUTSCHE BANK AG/LONDON
|
05/20/13
|
4.8750%
|
5,221
|
DEUTSCHE TELEKOM INTL FIN B V
|
06/01/32
|
9.2500%
|
1,594
|
DEVON FINANCING CORP ULC
|
09/30/11
|
6.8750%
|
1,705
|
DIAGEO CAPITAL PLC
|
01/30/13
|
5.2000%
|
11,141
|
DIAMOND OFFSHORE DRILLING INC
|
05/01/19
|
5.8750%
|
3,564
|
DIRECTV HOLDINGS LLC
|
03/15/20
|
5.2000%
|
7,988
|
DISCOVER BANK/GREENWOOD DE
|
04/15/20
|
7.0000%
|
2,625
|
DISCOVER CARD EXECUTION 08 A3
|
10/15/13
|
5.1000%
|
1,016
|
DISCOVER CARD MASTER TRU A1 A1
|
03/16/20
|
5.6500%
|
7,739
|
DISCOVER CARD MASTER TRU A4 A4
|
12/15/15
|
5.6500%
|
2,207
|
DISCOVERY COMMUNICATIONS LLC
|
06/01/40
|
6.3500%
|
445
|
DOMINION RESOURCES INC/VA
|
11/15/16
|
5.6000%
|
340
|
DOMINION RESOURCES INC/VA
|
08/15/19
|
5.2000%
|
2,825
|
DOW CHEMICAL CO/THE
|
05/15/19
|
8.5500%
|
6,055
|
DUKE ENERGY CAROLINAS LLC
|
01/15/38
|
6.0000%
|
973
|
DUKE ENERGY CAROLINAS LLC
|
02/15/40
|
5.3000%
|
583
|
DUKE ENERGY CAROLINAS LLC
|
01/15/18
|
5.2500%
|
822
|
DUKE ENERGY CAROLINAS LLC
|
11/15/18
|
7.0000%
|
2,454
|
DUKE ENERGY CORP
|
02/01/14
|
6.3000%
|
945
|
DUKE ENERGY CORP
|
09/15/19
|
5.0500%
|
647
|
DUKE ENERGY INDIANA INC
|
09/15/13
|
5.0000%
|
2,554
|
EI DU PONT DE NEMOURS & CO
|
01/15/13
|
5.0000%
|
427
|
EI DU PONT DE NEMOURS & CO
|
01/15/21
|
3.6250%
|
1,631
|
EKSPORTFINANA A S USD GBL NT
|
05/25/16
|
5.5000%
|
3,102
|
EKSPORTFINANS ASA
|
06/26/17
|
5.5000%
|
896
|
EL PASO NATURAL GAS CO
|
06/15/32
|
9.1250%
|
1,058
|
ELI LILLY & CO
|
03/15/17
|
5.2000%
|
3,004
|
EMBARQ CORP
|
06/01/16
|
7.0820%
|
2,878
|
EMBARQ CORP
|
06/01/36
|
7.9950%
|
1,088
|
ENCANA HOLDINGS FINANCE CORP
|
05/01/14
|
5.8000%
|
3,476
|
ENERGY TRANSFER PARTNERS LP
|
10/15/36
|
6.6250%
|
694
|
ENTERGY ARKANSAS INC
|
08/01/13
|
5.4000%
|
1,739
|
ENTERGY ARKANSAS NC
|
02/15/21
|
3.7500%
|
1,256
|
ENTERGY TEXAS INC
|
02/01/19
|
7.1250%
|
500
|
ENTERGY TEXAS RESTORATION A A1
|
02/01/16
|
2.1200%
|
478
|
ENTERGY TEXAS RESTORATION A A2
|
08/01/19
|
3.6500%
|
2,098
|
ENTERGY TEXAS RESTORATION A A3
|
11/01/23
|
4.3800%
|
1,051
|
ENTERPRISE PRODUCTS OPERATING
|
04/01/13
|
5.6500%
|
1,656
|
ENTERPRISE PRODUCTS OPERATING
|
10/15/34
|
6.6500%
|
1,468
|
ENTERPRISE PRODUCTS OPERATING
|
01/31/19
|
6.5000%
|
4,804
|
ENTERPRISE PRODUCTS OPERATING
|
09/01/20
|
5.2000%
|
1,048
|
ENTERPRISE PRODUCTS OPERATING
|
09/01/40
|
6.4500%
|
925
|
EOG RESOURCES INC
|
02/01/21
|
4.1000%
|
732
|
EOG RESOURCES INC
|
02/01/16
|
2.5000%
|
2,737
|
EXELON GENERATION CO LLC
|
10/01/39
|
6.2500%
|
1,096
|
EXPRESS SCRIPTS INC
|
06/15/14
|
6.2500%
|
4,900
|
FIFTH THIRD BANCORP
|
03/01/38
|
8.2500%
|
1,394
|
FLORIDA POWER & LIGHT CO
|
06/01/35
|
4.9500%
|
1,127
|
FLORIDA POWER CORP
|
06/15/38
|
6.4000%
|
1,100
|
FLORIDA POWER CORP
|
03/01/33
|
5.9000%
|
1,579
|
FLORIDA POWER CORP
|
09/15/37
|
6.3500%
|
864
|
FLORIDA POWER CORP
|
06/15/38
|
6.4000%
|
1,324
|
FORD CR AUTO 07-A CL C
|
02/15/13
|
5.8000%
|
2,097
|
FORD CR AUTO 08-B CL A-4A
|
03/15/13
|
4.9500%
|
1,039
|
FORD CREDIT AUTO OWNER T A A4A
|
06/15/12
|
5.4700%
|
329
|
FORD CREDIT AUTO OWNER T B A3A
|
05/15/12
|
4.2800%
|
301
|
FORD CREDIT AUTO OWNER TR A A4
|
05/15/14
|
6.0700%
|
4,709
|
FORD CREDIT AUTO OWNER TR B A4
|
09/15/15
|
1.5800%
|
1,855
|
FORD CREDIT AUTO OWNER TR E A4
|
11/15/14
|
2.4200%
|
1,591
|
FORD CREDIT AUTO OWNER TRU B B
|
11/15/12
|
5.6900%
|
1,046
|
FORD CREDIT AUTO OWNER TRU C C
|
09/15/12
|
5.4700%
|
1,334
|
FORD CREDIT FLOORPLAN 10-5 A1
|
09/15/15
|
VAR RT
|
2,971
|
FORDF 2010-3 A1
|
02/15/17
|
4.2000%
|
6,067
|
GE CAPITAL CREDIT CARD MAS 2 A
|
07/15/15
|
3.6900%
|
749
|
GE CAPITAL CREDIT CARD MAS 2 A
|
03/16/20
|
4.4700%
|
5,621
|
GE CAPITAL CREDIT CARD MAS 4 A
|
11/15/17
|
3.8000%
|
6,326
|
GE EQUIPMENT MIDTICKET 1-A4
|
07/14/16
|
1.4700%
|
2,031
|
GE EQUIPMENT MIDTICKET LL 1 A4
|
11/16/20
|
3.1300%
|
7,519
|
GEMNT 2010-3 A
|
06/15/13
|
2.2100%
|
7,620
|
GENERAL DYNAMICS CORP
|
07/15/11
|
1.8000%
|
1,551
|
GENERAL ELC CAP CORP
|
11/09/15
|
2.2500%
|
2,922
|
GENERAL ELEC CAP CORP MTN
|
01/07/11
|
1.6250%
|
4,032
|
GENERAL ELECTRIC CAPITAL CORP
|
01/10/39
|
6.8750%
|
399
|
GENERAL ELECTRIC CAPITAL CORP
|
08/07/19
|
6.0000%
|
5,403
|
GENERAL ELECTRIC CAPITAL CORP
|
09/16/20
|
4.3750%
|
6,767
|
GENERAL ELECTRIC CAPITAL CORP
|
03/15/32
|
6.7500%
|
2,607
|
GENERAL ELECTRIC CAPITAL CORP
|
08/07/37
|
6.1500%
|
7,171
|
GENERAL ELECTRIC CAPITAL CORP
|
12/09/11
|
3.0000%
|
1,847
|
GENERAL ELECTRIC CAPITAL CORP
|
06/08/12
|
2.2000%
|
5,117
|
GENERAL ELECTRIC CAPITAL CORP
|
03/12/12
|
2.2500%
|
2,568
|
GENERAL ELECTRIC CAPITAL CORP
|
09/28/12
|
2.0000%
|
3,078
|
GEORGIA POWER CO
|
12/15/15
|
5.2500%
|
1,621
|
GLAXOSMITHKLINE CAPITAL INC
|
05/15/13
|
4.8500%
|
990
|
GLAXOSMITHKLINE CAPITAL INC
|
05/15/38
|
6.3750%
|
547
|
GOLDEN WEST FINANCIAL CORP
|
10/01/12
|
4.7500%
|
4,409
|
GOLDMAN SACHS GROUP INC/THE
|
01/15/15
|
5.1250%
|
1,477
|
GOLDMAN SACHS GROUP INC/THE
|
01/15/16
|
5.3500%
|
2,025
|
GOLDMAN SACHS GROUP INC/THE
|
10/01/37
|
6.7500%
|
1,619
|
GOLDMAN SACHS GROUP INC/THE
|
01/15/14
|
5.1500%
|
4,095
|
GOLDMAN SACHS GROUP INC/THE
|
09/01/17
|
6.2500%
|
15,158
|
GOLDMAN SACHS GROUP INC/THE
|
02/15/19
|
7.5000%
|
1,665
|
GOLDMAN SACHS GROUP INC/THE
|
06/15/20
|
6.0000%
|
5,967
|
GOLDMAN SACHS GROUP INC/THE
|
10/15/13
|
5.2500%
|
8,117
|
GOLDMAN SACHS GROUP INC/THE
|
06/15/12
|
3.2500%
|
3,845
|
GOLDMAN SACHS GROUP INC/THE
|
07/15/11
|
1.6250%
|
4,059
|
GRUPO TELEVISA SA
|
05/15/18
|
6.0000%
|
3,402
|
GS MORTGAGE SECURITIES GG4 A4A
|
07/10/39
|
4.7510%
|
2,637
|
GTE CORP
|
04/15/18
|
6.8400%
|
1,629
|
GTE CORP
|
04/15/28
|
6.9400%
|
1,876
|
HALLIBURTON CO
|
09/15/38
|
6.7000%
|
425
|
HAROT 2010-2 A4
|
06/18/13
|
1.9300%
|
1,777
|
HARRIS CORP
|
12/01/17
|
5.9500%
|
346
|
HARSCO CORP
|
10/15/15
|
2.7000%
|
1,734
|
HARTFORD FINANCIAL SERVICES GR
|
10/15/16
|
5.5000%
|
1,219
|
HARTFORD FINANCIAL SERVICES GR
|
03/30/20
|
5.5000%
|
936
|
HARTFORD FINANCIAL SERVICES GR
|
03/30/40
|
6.6250%
|
538
|
HARTFORD LIFE GLOBAL FUNDING T
|
02/15/11
|
5.2000%
|
1,050
|
HERSHEY CO/THE
|
04/01/13
|
5.0000%
|
1,209
|
HESS CORP
|
10/01/29
|
7.8750%
|
480
|
HESS CORP
|
08/15/31
|
7.3000%
|
1,339
|
HESS CORP
|
01/15/40
|
6.0000%
|
727
|
HEWLETT-PACKARD CO
|
03/01/18
|
5.5000%
|
1,027
|
HOME DEPOT INC
|
12/16/36
|
5.8750%
|
1,715
|
HOME DEPOT INC
|
09/15/40
|
5.4000%
|
1,122
|
HONDA AUTO RECEIVABLES OW 1 A4
|
05/23/16
|
1.9800%
|
4,879
|
HONDA AUTO RECEIVABLES OW 3 A4
|
09/15/15
|
3.3000%
|
6,446
|
HONEYWELL INTERNATIONAL INC
|
03/15/37
|
5.7000%
|
1,484
|
HONEYWELL INTERNATIONAL INC
|
02/15/19
|
5.0000%
|
1,885
|
HONEYWELL INTERNATIONAL INC
|
03/15/17
|
5.3000%
|
1,204
|
HOSPIRA INC
|
03/30/17
|
6.0500%
|
3,328
|
HOSPIRA INC
|
05/15/15
|
6.4000%
|
740
|
HP ENTERPRISE SERVICES LLC
|
08/01/13
|
6.0000%
|
4,080
|
HSBC BANK PLC
|
03/15/11
|
6.9500%
|
3,444
|
HSBC BANK USA NA
|
08/24/20
|
4.8750%
|
1,931
|
HSBC BANK USA NA/NEW YORK NY
|
08/15/35
|
5.6250%
|
797
|
HSBC FINANCE CORP 144A
|
01/15/21
|
6.6760%
|
1,970
|
HSBC USA INC
|
12/16/11
|
3.1250%
|
3,185
|
HUNTINGTON AUTO 08 1 A-3A 144A
|
04/16/12
|
4.8100%
|
538
|
HUNTINGTON BANCSHARES IN
|
12/15/20
|
7.0000%
|
838
|
HYDRO-QUEBEC
|
01/15/22
|
8.4000%
|
705
|
HYUNDAI AUTO RECEIVABLES A A4
|
11/17/14
|
5.4800%
|
1,599
|
HYUNDAI AUTO RECEIVABLES A A4
|
12/15/16
|
2.4500%
|
4,339
|
HYUNDAI AUTO RECEIVABLES B A4
|
03/15/17
|
1.6300%
|
2,827
|
IBERDROLA INTERNATIONAL BV
|
07/15/36
|
6.7500%
|
805
|
INCO LTD
|
09/15/32
|
7.2000%
|
2,468
|
INGERSOLL-RAND GLOBAL HOLDING
|
08/15/13
|
6.0000%
|
4,319
|
INTEGRYS ENERGY GROUP
|
11/01/20
|
4.1700%
|
907
|
INTERNATIONAL BUSINESS MACHINE
|
06/15/13
|
7.5000%
|
3,340
|
INTERNATIONAL BUSINESS MACHINE
|
08/01/27
|
6.2200%
|
1,842
|
INTERNATIONAL BUSINESS MACHINE
|
01/05/16
|
2.0000%
|
1,464
|
INTERNATIONAL BUSINESS MACHINE
|
10/15/18
|
7.6250%
|
2,214
|
INTERNATIONAL PAPER CO
|
06/15/18
|
7.9500%
|
8,626
|
INTERNATIONAL PAPER CO
|
11/15/39
|
7.3000%
|
23
|
INTUIT INC
|
03/15/17
|
5.7500%
|
2,676
|
JCP&L TRANSITION FUNDING A A4
|
06/05/19
|
6.1600%
|
1,417
|
JCP&L TRANSITION FUNDING A A4
|
06/05/21
|
5.6100%
|
2,279
|
JEFFERIES GROUP INC
|
06/08/27
|
6.4500%
|
1,866
|
JERSEY CENTRAL POWER & LIGHT C
|
05/01/16
|
5.6250%
|
609
|
JERSEY CENTRAL POWER & LIGHT C
|
06/01/17
|
5.6500%
|
2,188
|
JOHN DEERE CAPITAL CORP
|
03/15/12
|
7.0000%
|
1,313
|
JOHN DEERE OWNER TRUST A A4
|
10/17/16
|
2.1300%
|
7,134
|
JOHN DEERE OWNER TRUST A A4
|
05/16/16
|
3.9600%
|
3,911
|
JPMORGAN CHASE & CO
|
01/15/12
|
4.5000%
|
2,602
|
Maturity
|
Interest
|
Current
|
|
Description
|
Date
|
Rate
|
Value
|
JPMORGAN CHASE & CO
|
06/27/17
|
6.1250%
|
1,652
|
JPMORGAN CHASE & CO
|
10/15/20
|
4.2500%
|
1,660
|
JPMORGAN CHASE & CO
|
03/01/15
|
4.7500%
|
8,028
|
JPMORGAN CHASE & CO
|
01/15/18
|
6.0000%
|
1,512
|
JPMORGAN CHASE & CO
|
04/23/19
|
6.3000%
|
10,391
|
JPMORGAN CHASE & CO
|
10/15/40
|
5.5000%
|
2,268
|
JPMORGAN CHASE & CO
|
06/15/12
|
2.2000%
|
3,480
|
JPMORGAN CHASE BANK NA
|
10/01/17
|
6.0000%
|
9,462
|
KELLOGG CO
|
12/03/12
|
5.1250%
|
2,531
|
KELLOGG CO
|
03/06/13
|
4.2500%
|
8,054
|
KFW
|
10/26/15
|
1.2500%
|
4,034
|
KIMBERLY-CLARK CORP
|
08/01/37
|
6.6250%
|
328
|
KIMBERLY-CLARK CORP
|
08/01/17
|
6.1250%
|
1,918
|
KINDER MORGAN ENERGY PARTNERS
|
03/15/35
|
5.8000%
|
1,277
|
KINDER MORGAN ENERGY PARTNERS
|
03/15/12
|
7.1250%
|
2,175
|
KINDER MORGAN ENERGY PARTNERS
|
09/01/39
|
6.5000%
|
2,085
|
KONINKLIJKE PHILIPS ELECTRONIC
|
03/11/13
|
4.6250%
|
972
|
KONINKLIJKE PHILIPS ELECTRONIC
|
03/11/38
|
6.8750%
|
1,200
|
KRAFT FOODS INC
|
08/11/17
|
6.5000%
|
4,481
|
KRAFT FOODS INC
|
01/26/39
|
6.8750%
|
584
|
KRAFT FOODS INC
|
02/09/40
|
6.5000%
|
1,872
|
KRAFT FOODS INC
|
11/01/31
|
6.5000%
|
945
|
KRAFT FOODS INC
|
02/01/38
|
6.8750%
|
1,058
|
KRAFT FOODS INC
|
02/10/20
|
5.3750%
|
1,993
|
KREDITANSTALT FUER WIEDERAUFBA
|
10/15/14
|
4.1250%
|
16,267
|
KROGER CO/THE
|
08/15/17
|
6.4000%
|
1,402
|
KROGER CO/THE
|
04/15/13
|
5.0000%
|
1,907
|
LANDESKREDITBANK BADEN-WUERTTE
|
01/13/12
|
4.8750%
|
3,651
|
LANDWIRTSCHAFTLICHE RENTENBANK
|
07/02/12
|
5.2500%
|
2,943
|
LB-UBS COMMERCIAL MORTGA C1 A4
|
02/15/31
|
5.1560%
|
2,135
|
LB-UBS COMMERCIAL MORTGA C6 A4
|
09/15/39
|
5.3720%
|
5,344
|
LB-UBS COMMERCIAL MORTGA C7 A3
|
11/15/38
|
5.3470%
|
6,337
|
LINCOLN NATIONAL CORP
|
04/07/36
|
6.1500%
|
3,486
|
LINCOLN NATIONAL CORP
|
06/15/40
|
7.0000%
|
1,207
|
LOCKHEED MARTIN CORP
|
06/01/40
|
5.7200%
|
1,434
|
LOCKHEED MARTIN CORP
|
09/01/36
|
6.1500%
|
1,294
|
LOCKHEED MARTIN CORP
|
03/14/13
|
4.1210%
|
3,758
|
LOCKHEED MARTIN TACTICAL SYSTE
|
09/15/23
|
7.0000%
|
1,220
|
LORILLARD TOBACCO CO
|
06/23/19
|
8.1250%
|
1,576
|
LOWE'S COS INC
|
10/15/36
|
5.8000%
|
760
|
LOWE'S COS INC
|
04/15/40
|
5.8000%
|
3,594
|
MCDONALD'S CORP
|
10/15/17
|
5.8000%
|
628
|
MERCEDES-BENZ AUTO RECEIV 1 A4
|
08/15/16
|
2.1400%
|
2,142
|
MERCEDES-BENZ AUTO RECEIV 1 A4
|
03/15/16
|
2.4300%
|
565
|
MERCK & CO INC
|
01/15/16
|
2.2500%
|
690
|
MERCK & CO INC
|
09/15/17
|
6.0000%
|
4,261
|
MERCK & CO INC
|
05/03/37
|
5.7600%
|
578
|
MERCK & CO INC
|
03/01/28
|
6.4000%
|
1,359
|
MERCK & CO INC
|
09/15/37
|
6.5500%
|
1,364
|
MERRILL LYNCH & CO INC
|
04/25/18
|
6.8750%
|
4,185
|
MERRILL LYNCH & CO INC
|
09/15/26
|
6.2200%
|
1,516
|
MERRILL LYNCH/COUNTRYWIDE 2 A3
|
06/12/46
|
VAR RT
|
5
|
MICROSOFT CORP
|
06/01/39
|
5.2000%
|
817
|
MICROSOFT CORP
|
10/01/40
|
4.5000%
|
981
|
MIDAMERICAN ENERGY CO
|
12/30/31
|
6.7500%
|
613
|
MIDAMERICAN ENERGY CO
|
10/15/36
|
5.8000%
|
3,406
|
MIDAMERICAN ENERGY CO
|
03/15/18
|
5.3000%
|
1,177
|
MIDAMERICAN ENERGY HOLDINGS CO
|
09/15/28
|
8.4800%
|
468
|
MIDAMERICAN ENERGY HOLDINGS CO
|
04/01/36
|
6.1250%
|
1,733
|
MMAF 2009-AA A3
|
11/15/13
|
2.3700%
|
7,081
|
MMAF 2009-AA A4
|
01/15/30
|
3.5100%
|
7,782
|
MOBIL CORP
|
08/15/21
|
8.6250%
|
1,733
|
MORGAN STANLEY
|
04/01/18
|
6.6250%
|
708
|
MORGAN STANLEY
|
10/15/15
|
5.3750%
|
13,900
|
MORGAN STANLEY
|
09/23/19
|
5.6250%
|
4,950
|
MORGAN STANLEY
|
01/09/17
|
5.4500%
|
3,619
|
MORGAN STANLEY
|
04/27/17
|
5.5500%
|
7,679
|
MORGAN STANLEY
|
11/20/14
|
4.2000%
|
3,585
|
MORGAN STANLEY
|
09/22/11
|
2.0000%
|
4,580
|
NABISCO INC
|
06/15/15
|
7.5500%
|
7,693
|
NASDAQ OMX GROUP
|
01/16/18
|
5.2500%
|
1,611
|
NASDAQ OMX GROUP INC/THE
|
01/15/15
|
4.0000%
|
1,618
|
NATIONAL CITY BANK OF INDIANA
|
07/01/18
|
4.2500%
|
2,050
|
NATIONAL CITY BANK/CLEVELAND O
|
06/07/17
|
5.8000%
|
982
|
NATIONAL CITY CORP
|
05/15/19
|
6.8750%
|
969
|
NATIONWIDE HEALTH PROPERTIES I
|
07/15/11
|
6.5000%
|
1,338
|
NBC UNIVERSAL INC
|
04/30/40
|
6.4000%
|
890
|
NBC UNIVERSAL INC
|
04/01/41
|
5.9500%
|
1,803
|
NCUA GUARANTEED NOTES C1 APT
|
10/29/20
|
2.6500%
|
6,470
|
NEVADA POWER CO
|
08/01/18
|
6.5000%
|
1,854
|
NEW CINGULAR WIRELESS SERVICES
|
03/01/31
|
8.7500%
|
3,093
|
NEW CINGULAR WIRELESS SERVICES
|
05/01/12
|
8.1250%
|
1,188
|
NEW YORK ST URBAN DEV CORP REV
|
03/15/39
|
5.7700%
|
654
|
NEW YORK ST URBAN DEV CORP REV
|
03/15/40
|
5.8380%
|
492
|
NEWELL RUBBERMAID INC
|
04/15/13
|
5.5000%
|
1,798
|
NEWMONT MINING CORP
|
04/01/35
|
5.8750%
|
818
|
NEWMONT MINING CORP
|
10/01/39
|
6.2500%
|
1,416
|
NEWS AMERICA HOLDINGS INC
|
02/01/13
|
9.2500%
|
2,707
|
NEWS AMERICA HOLDINGS INC
|
08/01/34
|
8.4500%
|
253
|
NEWS AMERICA INC
|
12/15/34
|
6.2000%
|
2,987
|
NEWS AMERICA INC
|
12/15/35
|
6.4000%
|
868
|
NEWS AMERICA INC
|
04/08/28
|
7.1250%
|
684
|
NEWS AMERICA INC
|
12/15/14
|
5.3000%
|
3,315
|
NEWS AMERICA INC
|
08/15/39
|
6.9000%
|
3,298
|
NEXEN INC
|
07/30/39
|
7.5000%
|
853
|
NOMURA HOLDINGS INC
|
03/04/15
|
5.0000%
|
3,645
|
NORTHERN STATES POWER CO/MN
|
03/01/18
|
5.2500%
|
2,355
|
NORTHROP GRUMMAN CORP
|
11/15/40
|
5.0500%
|
1,055
|
NORTHROP GRUMMAN SYSTEMS CORP
|
03/01/26
|
7.8750%
|
2,755
|
NOVARTIS SECURITIES INVESTMENT
|
02/10/19
|
5.1250%
|
3,734
|
OCCIDENTAL PETROLEUM CORP
|
12/13/13
|
1.4500%
|
1,907
|
OGLETHORPE POWER CORP
|
11/01/40
|
5.3750%
|
820
|
OHIO EDISON CO
|
07/15/16
|
6.4000%
|
2,888
|
ONCOR ELECTRIC DELIVERY CO LLC
|
09/01/38
|
7.5000%
|
571
|
ONCOR ELECTRIC DELIVERY CO LLC
|
09/30/40
|
5.2500%
|
1,244
|
ONEOK PARTNERS LP
|
03/01/19
|
8.6250%
|
1,913
|
ORACLE CORP
|
07/15/40
|
5.3750%
|
3,971
|
ORACLE CORP
|
04/15/18
|
5.7500%
|
2,879
|
ORACLE CORP
|
01/15/16
|
5.2500%
|
5,527
|
ORIGEN MANUFACTURED HOUSI A A3
|
10/15/21
|
4.9700%
|
714
|
PACIFIC BELL TELEPHONE CO
|
03/15/26
|
7.1250%
|
2,005
|
PACIFICORP
|
11/15/11
|
6.9000%
|
4,199
|
PACIFICORP
|
08/01/36
|
6.1000%
|
1,582
|
PACIFICORP
|
04/01/37
|
5.7500%
|
2,396
|
PACIFICORP
|
10/15/37
|
6.2500%
|
799
|
PANHANDLE EASTERN PIPELINE CO
|
11/01/17
|
6.2000%
|
1,447
|
PARKER HANNIFIN CORP
|
05/15/18
|
5.5000%
|
2,827
|
PEMEX PROJECT FUNDING MASTER T
|
06/15/35
|
6.6250%
|
333
|
PEMEX PROJECT FUNDING MASTER T
|
06/15/38
|
6.6250%
|
806
|
PEPSIAMERICAS INC
|
01/15/15
|
4.8750%
|
1,015
|
PEPSIAMERICAS INC
|
02/15/14
|
4.3750%
|
4,934
|
PEPSICO INC/NC
|
11/01/18
|
7.9000%
|
3,055
|
PETRO CDA SR NT
|
07/15/13
|
4.0000%
|
1,604
|
PETROBRAS INTERNATIONAL FINANC
|
01/20/20
|
5.7500%
|
2,275
|
PETROBRAS INTERNATIONAL FINANC
|
01/20/40
|
6.8750%
|
4,084
|
PETROBRAS INTERNATIONAL FINANC
|
03/01/18
|
5.8750%
|
5,006
|
PETROBRAS INTERNATIONAL FINANC
|
03/15/19
|
7.8750%
|
1,024
|
PETROLEOS MEXICANOS
|
01/21/21
|
5.5000%
|
3,520
|
PFIZER INC
|
03/15/39
|
7.2000%
|
2,160
|
PHILIP MORRIS INTERNATIONAL IN
|
05/16/18
|
5.6500%
|
4,876
|
PHILIP MORRIS INTERNATIONAL IN
|
05/16/38
|
6.3750%
|
877
|
PLUM CREEK TIMBR
|
03/15/21
|
4.7000%
|
1,929
|
PNC FUNDING CORP
|
02/01/17
|
5.6250%
|
991
|
PNC FUNDING CORP
|
06/22/11
|
1.8750%
|
4,033
|
POTASH CORP OF SASKATCHEWAN IN
|
05/15/14
|
5.2500%
|
5,244
|
POTOMAC ELECTRIC POWER CO
|
11/15/37
|
6.5000%
|
1,316
|
PPL ELECTRIC UTILITIES CORP
|
08/15/37
|
6.4500%
|
1,569
|
PPL ENERGY SUPPLY LLC
|
05/01/18
|
6.5000%
|
2,072
|
PREMIER AIRCRAFT LEASING
|
02/06/22
|
3.5760%
|
4,814
|
PREMIER AIRCRAFT LEASING
|
04/10/22
|
3.5470%
|
5,414
|
PROCTER & GAMBLE CO/THE
|
09/01/24
|
8.0000%
|
1,029
|
PROCTER & GAMBLE ESOP DEB SR-A
|
01/01/21
|
9.3600%
|
434
|
PROGRESS ENERGY INC
|
04/15/12
|
6.8500%
|
434
|
PRUDENTIAL FINANCIAL INC
|
12/14/36
|
5.7000%
|
4,246
|
PRUDENTIAL FINANCIAL INC
|
12/01/17
|
6.0000%
|
1,648
|
PRUDENTIAL FINANCIAL INC
|
06/21/40
|
6.6250%
|
894
|
PRUDENTIAL FINANCIAL INC
|
01/14/15
|
3.8750%
|
3,325
|
PSE&G TRANSITION FUNDING 1 A6
|
06/15/15
|
6.6100%
|
1,903
|
PSE&G TRANSITION FUNDING 1 A8
|
12/15/17
|
6.8900%
|
2,761
|
PSEG POWER LLC
|
04/15/13
|
2.5000%
|
1,280
|
PUGET SOUND ENERGY INC
|
03/15/40
|
5.7950%
|
783
|
PUGET SOUND ENERGY INC
|
07/15/40
|
5.7640%
|
739
|
QWEST CORP
|
05/01/16
|
8.3750%
|
1,517
|
RALCORP HOLDINGS INC
|
08/15/20
|
4.9500%
|
845
|
REGENCY CENTERS LP
|
06/15/17
|
5.8750%
|
357
|
REINSURANCE GROUP OF AMERICA I
|
11/15/19
|
6.4500%
|
1,826
|
RIO TINTO ALCAN INC
|
03/15/31
|
7.2500%
|
569
|
RIO TINTO FINANCE USA LTD
|
05/01/19
|
9.0000%
|
3,767
|
ROGERS COMMUNICATIONS INC
|
05/01/12
|
7.8750%
|
7,582
|
ROGERS COMMUNICATIONS INC
|
05/01/32
|
8.7500%
|
802
|
ROGERS COMMUNICATIONS INC
|
03/15/15
|
7.5000%
|
3,226
|
ROWAN COS INC
|
08/01/19
|
7.8750%
|
855
|
ROYAL BANK OF SCOTLAND PLC/THE
|
03/16/15
|
4.8750%
|
3,408
|
ROYAL BANK OF SCOTLAND PLC/THE
|
08/23/13
|
3.4000%
|
1,352
|
SAFEWAY INC
|
08/15/17
|
6.3500%
|
1,046
|
SAFEWAY INC
|
03/15/14
|
6.2500%
|
451
|
SCANA CORP
|
05/15/11
|
6.8750%
|
1,036
|
SEMPRA ENERGY
|
06/01/16
|
6.5000%
|
2,094
|
SHELL INTERNATIONAL FINANCE BV
|
12/15/38
|
6.3750%
|
323
|
SHELL INTERNATIONAL FINANCE BV
|
06/28/15
|
3.1000%
|
3,945
|
SLM CORP
|
05/15/14
|
5.3750%
|
1,818
|
SOUTHERN CALIFORNIA EDISON CO
|
01/15/16
|
5.0000%
|
2,032
|
SOUTHERN CALIFORNIA EDISON CO
|
09/01/40
|
4.5000%
|
805
|
SOUTHERN COPPER CORP
|
07/27/35
|
7.5000%
|
910
|
SOUTHERN COPPER CORP
|
04/16/40
|
6.7500%
|
2,087
|
SOUTHERN UNION CO
|
02/01/24
|
7.6000%
|
857
|
SPECTRA ENERGY CAPITAL LLC
|
09/15/38
|
7.5000%
|
946
|
ST JUDE MEDICAL INC
|
07/15/14
|
3.7500%
|
1,515
|
STATE STREET BANK AND TRUST CO
|
03/15/11
|
1.8500%
|
4,035
|
STATOIL ASA
|
11/15/25
|
7.1500%
|
581
|
STATOIL ASA
|
09/23/27
|
7.2500%
|
2,174
|
STATOIL ASA
|
04/15/19
|
5.2500%
|
2,229
|
SUNCOR ENERGY INC
|
12/01/34
|
5.9500%
|
307
|
SWISS RE SOLUTIONS HOLDING COR
|
06/15/30
|
7.7500%
|
2,883
|
TALISMAN ENERGY INC
|
02/01/37
|
5.8500%
|
525
|
TARGET CORP
|
01/15/38
|
7.0000%
|
392
|
TCI COMMUNICATIONS INC
|
02/15/26
|
7.8750%
|
2,162
|
TECK RESOURCES LTD
|
10/01/35
|
6.1250%
|
805
|
TECK RESOURCES LTD
|
05/15/16
|
10.2500%
|
1,880
|
TELECOM ITALIA CAPITAL SA
|
09/30/14
|
4.9500%
|
1,522
|
Maturity
|
Interest
|
Current
|
|
Description
|
Date
|
Rate
|
Value
|
TELECOM ITALIA CAPITAL SA
|
06/04/38
|
7.7210%
|
962
|
TELECOM ITALIA CAPITAL SA
|
11/15/13
|
5.2500%
|
4,606
|
TELEFONICA EMISIONES SAU
|
06/20/16
|
6.4210%
|
5,094
|
TELEFONICA EMISIONES SAU
|
06/20/11
|
5.9840%
|
4,096
|
TELEFONICA EMISIONES SAU
|
07/15/19
|
5.8770%
|
3,316
|
TELEFONICA EMISIONES SAU
|
04/27/15
|
3.7290%
|
872
|
TELEFONICA EMISIONES SAU
|
04/27/20
|
5.1340%
|
967
|
TELEFONOS DE MEXICO SAB DE CV
|
11/15/19
|
5.5000%
|
1,426
|
TEVA PHARMACEUTICAL FINANCE CO
|
02/01/16
|
5.5500%
|
4,100
|
TEVA PHARMACEUTICAL FINANCE CO
|
02/01/36
|
6.1500%
|
2,582
|
TEVA PHARMACEUTICAL FINANCE II
|
06/15/15
|
3.0000%
|
2,185
|
THOMSON REUTERS CORP
|
07/15/13
|
5.9500%
|
4,260
|
TIME WARNER CABLE INC
|
05/01/17
|
5.8500%
|
4,918
|
TIME WARNER CABLE INC
|
07/01/13
|
6.2000%
|
3,462
|
TIME WARNER CABLE INC
|
07/01/18
|
6.7500%
|
1,852
|
TIME WARNER CABLE INC
|
02/14/14
|
8.2500%
|
4,762
|
TIME WARNER CABLE INC
|
04/01/19
|
8.2500%
|
3,836
|
TIME WARNER COS INC
|
02/01/24
|
7.5700%
|
4,914
|
TIME WARNER ENTERTAINMENT CO L
|
03/15/23
|
8.3750%
|
1,917
|
TIME WARNER ENTERTAINMENT CO L
|
07/15/33
|
8.3750%
|
865
|
TIME WARNER INC
|
05/01/32
|
7.7000%
|
415
|
TIME WARNER INC
|
07/15/40
|
6.1000%
|
1,528
|
TOTAL CAPITAL SA
|
03/15/16
|
2.3000%
|
3,497
|
TOYOTA AUTO RECEIVABLES O A A3
|
12/16/13
|
1.2700%
|
1,511
|
TOYOTA AUTO RECEIVABLES O B A4
|
01/17/17
|
1.4700%
|
2,111
|
TRANSCANADA PIPELINES LTD
|
10/15/37
|
6.2000%
|
767
|
TRANSCANADA PIPELINES LTD
|
06/01/15
|
3.4000%
|
1,310
|
TRANSCANADA PIPELINES LTD
|
06/01/40
|
6.1000%
|
1,272
|
TRANSOCEAN INC
|
03/15/38
|
6.8000%
|
174
|
TRANSOCEAN INC
|
11/15/20
|
6.5000%
|
1,304
|
TRANSOCEAN INC
|
03/15/18
|
6.0000%
|
3,351
|
TRAVELERS COS INC/THE
|
06/15/37
|
6.2500%
|
3,357
|
TURNER BROADCASTING SYSTEM INC
|
07/01/13
|
8.3750%
|
898
|
TXU ELECTRIC DELIVERY TRA 1 A3
|
05/15/18
|
5.2900%
|
4,883
|
TYCO INTERNATIONAL FINANCE SA
|
01/15/19
|
8.5000%
|
2,628
|
TYCO INTERNATIONAL FINANCE SA
|
10/15/14
|
4.1250%
|
2,134
|
UBS AG/STAMFORD CT
|
08/04/20
|
4.8750%
|
1,429
|
UBS AG/STAMFORD CT
|
12/20/17
|
5.8750%
|
3,085
|
UNILEVER CAPITAL CORP
|
02/15/19
|
4.8000%
|
1,710
|
UNION ELECTRIC CO
|
08/01/37
|
5.3000%
|
2,349
|
UNION ELECTRIC CO
|
04/01/18
|
6.0000%
|
973
|
UNION PACIFIC CORP
|
02/01/29
|
6.6250%
|
2,014
|
UNION PACIFIC RESOURCES GROUP
|
05/15/28
|
7.1500%
|
2,502
|
UNIONBANCAL CORP
|
12/16/13
|
5.2500%
|
734
|
UNITED TECHNOLOGIES CORP
|
09/15/29
|
7.5000%
|
259
|
UNITED TECHNOLOGIES CORP
|
04/15/40
|
5.7000%
|
1,213
|
UNITED TECHNOLOGIES CORP
|
05/15/12
|
6.1000%
|
1,492
|
UNITED TECHNOLOGIES CORP
|
05/01/35
|
5.4000%
|
413
|
UNITED TECHNOLOGIES CORP
|
06/01/36
|
6.0500%
|
1,361
|
UNITED TECHNOLOGIES CORP
|
12/15/17
|
5.3750%
|
420
|
UNITEDHEALTH GROUP INC
|
03/15/11
|
5.2500%
|
1,162
|
UNITEDHEALTH GROUP INC
|
03/15/15
|
4.8750%
|
540
|
UNITEDHEALTH GROUP INC
|
03/15/36
|
5.8000%
|
719
|
US BANCORP
|
05/15/12
|
1.8000%
|
2,544
|
USAA AUTO OWNER TRUST 1 A4
|
09/15/15
|
2.1400%
|
2,589
|
USAA AUTO OWNER TRUST 1 A4
|
09/15/14
|
4.7700%
|
2,649
|
USAA AUTO OWNER TRUST 2 A4
|
07/15/15
|
2.5300%
|
1,029
|
VALE OVERSEAS LTD
|
11/21/36
|
6.8750%
|
1,455
|
VALE OVERSEAS LTD
|
09/15/19
|
5.6250%
|
2,434
|
VALERO ENERGY CORP
|
06/15/37
|
6.6250%
|
2,402
|
VALERO ENERGY CORP
|
06/15/17
|
6.1250%
|
1,363
|
VANDERBILT MORTGAGE FINAN A A4
|
06/07/28
|
VAR RT
|
1,138
|
VANDERBILT MORTGAGE FINAN A A4
|
05/07/26
|
6.2100%
|
1,377
|
VANDERBILT MORTGAGE FINAN B A4
|
02/07/26
|
5.8400%
|
1,537
|
VANDERBILT MORTGAGE FINAN C A4
|
01/07/27
|
5.9600%
|
1,227
|
VANDERBILT MORTGAGE FINAN C A4
|
08/07/24
|
6.5700%
|
1,726
|
VENDEE MORTGAGE TRUST 1 DA
|
02/15/35
|
4.2500%
|
7,864
|
VERIZON COMMUNICATIONS INC
|
04/15/18
|
6.1000%
|
4,457
|
VERIZON COMMUNICATIONS INC
|
03/01/39
|
8.9500%
|
4,972
|
VERIZON COMMUNICATIONS INC
|
09/15/35
|
5.8500%
|
728
|
VERIZON GLOBAL FUNDING CORP
|
12/01/30
|
7.7500%
|
803
|
VERIZON NEW ENGLAND INC
|
11/15/29
|
7.8750%
|
1,410
|
VERIZON NEW ENGLAND INC
|
09/15/11
|
6.5000%
|
1,285
|
VFET 2010-1A A3
|
06/17/13
|
1.5600%
|
1,508
|
VIACOM INC
|
04/30/36
|
6.8750%
|
917
|
VIRGINIA ELECTRIC AND POWER CO
|
11/30/37
|
6.3500%
|
1,267
|
VIRGINIA ELECTRIC AND POWER CO
|
11/15/38
|
8.8750%
|
274
|
VIRGINIA ELECTRIC AND POWER CO
|
03/01/13
|
4.7500%
|
2,054
|
VIRGINIA ELECTRIC AND POWER CO
|
01/15/16
|
5.4000%
|
4,931
|
VIRGINIA ELECTRIC AND POWER CO
|
01/15/36
|
6.0000%
|
1,547
|
VODAFONE GROUP PLC
|
03/15/16
|
5.7500%
|
4,251
|
VODAFONE GROUP PLC
|
12/16/13
|
5.0000%
|
2,260
|
VODAFONE GROUP PLC
|
02/27/37
|
6.1500%
|
1,430
|
VOLKSWAGEN AUTO LOAN ENHA 1 A4
|
08/22/16
|
2.1400%
|
2,270
|
WACHOVIA BANK NA
|
11/15/17
|
6.0000%
|
863
|
WACHOVIA BANK NA
|
01/15/38
|
6.6000%
|
1,510
|
WACHOVIA CORP
|
08/01/26
|
STEP
|
2,631
|
WACHOVIA CORP
|
05/01/13
|
5.5000%
|
2,000
|
WAL-MART STORES INC
|
02/15/11
|
4.1250%
|
1,744
|
WAL-MART STORES INC
|
08/15/37
|
6.5000%
|
1,875
|
WAL-MART STORES INC
|
04/15/38
|
6.2000%
|
3,440
|
WAL-MART STORES INC
|
10/25/40
|
5.0000%
|
1,649
|
WAL-MART STORES INC
|
09/01/35
|
5.2500%
|
1,568
|
WASTE MANAGEMENT INC
|
07/15/28
|
7.0000%
|
1,560
|
WASTE MANAGEMENT INC
|
06/30/20
|
4.7500%
|
1,110
|
WASTE MANAGEMENT INC
|
11/15/12
|
6.3750%
|
1,125
|
WASTE MANAGEMENT INC
|
03/11/19
|
7.3750%
|
2,086
|
WEATHERFORD INTERNATIONAL LTD
|
09/15/40
|
6.7500%
|
903
|
WELLPOINT INC
|
06/15/37
|
6.3750%
|
2,423
|
WELLPOINT INC
|
12/15/14
|
5.0000%
|
3,607
|
WELLPOINT INC NT
|
01/15/11
|
5.0000%
|
1,024
|
WELLS FARGO & CO
|
10/16/13
|
4.9500%
|
1,112
|
WELLS FARGO & CO
|
01/31/13
|
4.3750%
|
3,764
|
WELLS FARGO & CO
|
12/09/11
|
3.0000%
|
3,283
|
WELLS FARGO & CO NEW SR NT
|
01/12/11
|
4.8750%
|
87
|
WILLIAMS COS INC/THE
|
01/15/31
|
7.5000%
|
521
|
WILLIAMS PARTNERS LP
|
03/15/20
|
5.2500%
|
1,985
|
WILLIAMS PARTNERS LP
|
04/15/40
|
6.3000%
|
500
|
WORLD FINANCIAL NETWORK CR A A
|
09/15/15
|
4.6000%
|
5,202
|
WORLD FINANCIAL NETWORK CR A A
|
06/15/15
|
3.9600%
|
5,650
|
WORLD OMNI AUTO RECEIVABL A A4
|
05/15/15
|
2.2100%
|
4,591
|
WYETH
|
02/01/14
|
5.5000%
|
4,260
|
WYETH
|
04/01/17
|
5.4500%
|
855
|
WYETH
|
04/01/37
|
5.9500%
|
2,205
|
WYETH
|
02/15/16
|
5.5000%
|
8,037
|
XCEL ENERGY INC
|
07/01/36
|
6.5000%
|
1,620
|
XEROX CORP
|
05/15/14
|
8.2500%
|
1,652
|
XSTRATA CANADA CORP
|
07/15/12
|
7.2500%
|
2,522
|
XSTRATA CANADA CORP
|
10/15/15
|
6.0000%
|
4,195
|
XSTRATA CANADA CORP
|
06/15/35
|
6.2000%
|
848
|
Total Corporate Debt Instruments
|
$ 1,746,383
|
||
Other Investments:
|
|||
AFRICAN DEVELOPMENT BANK
|
11/23/11
|
1.0000%
|
$ 3,662
|
ATLANTIC CITY ELECTRIC TR 1 A2
|
10/20/16
|
4.4600%
|
605
|
ATLANTIC CITY ELECTRIC TR 1 A4
|
10/20/23
|
5.5500%
|
6,391
|
BRAZIL FEDERATIVE REP
|
01/17/17
|
6.0000%
|
5,812
|
BRAZIL FEDERATIVE REP GBL BD
|
01/20/37
|
7.1250%
|
1,088
|
BRAZILIAN GOVERNMENT INTERNATI
|
01/07/41
|
5.6250%
|
3,110
|
CALIFORNIA ST
|
10/01/39
|
7.3000%
|
2,297
|
CALIFORNIA ST
|
11/01/40
|
7.6000%
|
1,491
|
CALIFORNIA ST
|
04/01/39
|
7.5500%
|
4,204
|
CALIFORNIA ST
|
11/01/40
|
7.6000%
|
1,371
|
CANADIAN NATIONAL RAILWAY CO
|
08/01/34
|
6.2500%
|
1,612
|
CANADIAN NATURAL RESOURCES LTD
|
02/01/13
|
5.1500%
|
1,098
|
CANADIAN NATURAL RESOURCES LTD
|
02/01/18
|
5.9000%
|
1,739
|
CANADIAN NATURAL RESOURCES LTD
|
05/15/17
|
5.7000%
|
1,651
|
CANADIAN NATURAL RESOURCES LTD
|
03/15/38
|
6.2500%
|
2,381
|
CANADIAN NATURAL RESOURCES LTD
|
02/01/18
|
5.9000%
|
2,451
|
CHICAGO ILL O HARE INTL ARPT
|
01/01/40
|
6.3950%
|
1,935
|
CHICAGO ILL WTR REV
|
11/01/40
|
6.7420%
|
2,758
|
CLEVELAND ELECTRIC ILLUMINATIN
|
12/15/13
|
5.6500%
|
2,670
|
CLEVELAND ELECTRIC ILLUMINATIN
|
12/15/13
|
5.6500%
|
1,351
|
CLEVELAND ELECTRIC ILLUMINATIN
|
04/01/17
|
5.7000%
|
1,415
|
DALLAS TEX INDPT SCH DIST
|
02/15/35
|
6.4500%
|
1,381
|
EXPORT-IMPORT BANK OF KOREA
|
01/14/15
|
5.8750%
|
3,154
|
FED REPUBLIC OF BRAZIL
|
01/22/21
|
4.8750%
|
3,256
|
FINANCEMENT QUEBEC
|
10/25/12
|
5.0000%
|
1,511
|
FRANCE TELECOM SA
|
09/16/15
|
2.1250%
|
2,570
|
FRANCE TELECOM SA NT
|
03/01/31
|
VAR RT
|
1,545
|
ILLINOIS ST
|
06/01/33
|
5.1000%
|
732
|
ILLINOIS ST
|
01/01/15
|
4.4210%
|
2,144
|
ITALY REP SR SUB NT
|
09/20/16
|
5.2500%
|
2,088
|
KENTUCKY UTILITIES
|
11/01/40
|
5.1250%
|
2,339
|
KOREA REP NT
|
06/01/13
|
4.2500%
|
3,670
|
LOS ANGELES CALIF UNI SCH DIST
|
05/01/27
|
5.9810%
|
704
|
LOS ANGELES CALIF UNI SCH DIST
|
07/01/34
|
5.7500%
|
845
|
LOUISIANA LOC GOVT ENVIRONMENT
|
02/01/19
|
2.4700%
|
5,924
|
LOUISIANA LOCAL GOVERNM ELL A4
|
08/01/24
|
3.9600%
|
5,127
|
METROPOLITAN TRANSN AUTH N Y D
|
11/15/39
|
7.3360%
|
1,875
|
METROPOLITAN TRANSN AUTH N Y R
|
11/15/40
|
6.8140%
|
2,526
|
MEXICO GOVERNMENT INTERNATIONA
|
01/11/40
|
6.0500%
|
2,197
|
NATIONAL RURAL UTILITIES COOPE
|
11/01/18
|
10.3750%
|
2,692
|
NATIONAL RURAL UTILITIES COOPE
|
09/16/12
|
2.6250%
|
1,014
|
NEW BRUNSWICK PROV CDA BD
|
02/21/17
|
5.2000%
|
4,243
|
NEW JERSEY ST TPK AUTH TPK REV
|
01/01/41
|
7.1020%
|
733
|
NEW JERSEY ST TPK AUTH TPK REV
|
01/01/41
|
7.1020%
|
1,482
|
NEW YORK N Y
|
12/01/37
|
6.2710%
|
622
|
NEW YORK N Y CITY TRANSITIONAL
|
08/01/37
|
5.5080%
|
619
|
NOVA SCOTIA PROVINCE
|
07/21/15
|
2.3750%
|
1,211
|
ONTARIO (PROVINCE OF)
|
02/05/15
|
2.9500%
|
5,217
|
ORANGE CNTY CALIF LOC TRANSN A
|
02/15/41
|
6.9080%
|
869
|
PANAMA REP AMORT GLOBAL BD
|
01/26/36
|
6.7000%
|
406
|
PORT AUTH N Y & N J
|
12/01/19
|
5.3090%
|
2,134
|
PROVINCE OF ONTARIO CANADA
|
06/16/14
|
4.1000%
|
87
|
PROVINCE OF ONTARIO CANADA
|
09/15/15
|
1.8750%
|
3,354
|
PROVINCE OF QUEBEC CANADA
|
07/29/20
|
3.5000%
|
3,168
|
PUBLIC SERVICE CO OF COLORADO
|
08/01/38
|
6.5000%
|
1,068
|
PUBLIC SERVICE ELECTRIC & GAS
|
05/01/15
|
2.7000%
|
1,158
|
SCOTTISH POWER LTD
|
03/15/15
|
5.3750%
|
451
|
SOUTHERN CALIF PUB PWR AUTH PW
|
05/15/17
|
6.9300%
|
3,251
|
TEXAS ST
|
04/01/39
|
5.5170%
|
363
|
TEXAS ST
|
04/01/33
|
4.6310%
|
1,623
|
TEXAS ST TRANSN COMMN
|
04/01/30
|
5.1780%
|
637
|
UFJ FINANCE ARUBA AEC
|
07/15/13
|
6.7500%
|
2,742
|
UNITED MEXICAN MTN #TR00019
|
01/15/17
|
5.6250%
|
5,016
|
UNITED MEXICAN STS MTN #00022
|
02/17/14
|
5.8750%
|
3,413
|
UNITED MEXICAN STS MTN TR00021
|
03/19/19
|
5.9500%
|
960
|
UNIVERSITY MASS BLDG AUTH PROJ
|
11/01/40
|
5.4500%
|
2,715
|
UNIVERSITY TEX UNIV REVS
|
08/15/41
|
6.2760%
|
380
|
UNIVERSITY VA UNIV REVS
|
09/01/39
|
6.2000%
|
1,035
|
WISCONSIN ST GEN REV
|
05/01/18
|
5.2000%
|
339
|
WISCONSIN ST GEN REV
|
05/01/13
|
4.8000%
|
505
|
Total Other Investments
|
$ 148,187
|
||
**Common/Collective Trust:
|
|||
EB TEMPORARY INVESTMENT FUND II |
12/31/40
|
0.1050% | $ 83,060 |
Cash and receivables for pending settlements
|
$ 112,253
|
||
Liabilities for pending settlements
|
$ (156,810)
|
||
Total Investment Contract
|
$ 4,046,140
|
||
Total Fixed Income Fund
|
$ 4,546,712
|
||
Principal
|
|||
Amount or
|
Current
|
||
Description
|
Shares/Units
|
Value
|
|
**T. Rowe Price Retirement Funds Inc 2005 Trust Fund - Common Collective Trust
|
3,445
|
$ 38,510
|
|
**T. Rowe Price Retirement Funds Inc 2010 Trust Fund - Common Collective Trust
|
9,593
|
106,096
|
|
**T. Rowe Price Retirement Funds Inc 2015 Trust Fund - Common Collective Trust
|
12,906
|
141,321
|
|
**T. Rowe Price Retirement Funds Inc 2020 Trust Fund - Common Collective Trust
|
25,312
|
274,384
|
|
**T. Rowe Price Retirement Funds Inc 2025 Trust Fund - Common Collective Trust
|
15,403
|
164,969
|
|
**T. Rowe Price Retirement Funds Inc 2030 Trust Fund - Common Collective Trust
|
15,321
|
162,857
|
|
**T. Rowe Price Retirement Funds Inc 2035 Trust Fund - Common Collective Trust
|
4,076
|
43,078
|
|
**T. Rowe Price Retirement Funds Inc 2040 Trust Fund - Common Collective Trust
|
14,782
|
156,395
|
|
**T. Rowe Price Retirement Funds Inc 2045 Trust Fund - Common Collective Trust
|
2,756
|
29,188
|
|
**T. Rowe Price Retirement Funds Inc 2050 Trust Fund - Common Collective Trust
|
385
|
4,088
|
|
**T. Rowe Price Retirement Funds Inc 2055 Trust Fund - Common Collective Trust
|
757
|
8,013
|
|
**T. Rowe Price Retirement Funds Inc Income Trust Fund - Common Collective Trust
|
5,793
|
65,231
|
|
Total T. Rowe Price Trust Funds
|
$ 1,194,130
|
||
Principal
|
|||
Amount or
|
Current
|
||
Description
|
Shares/Units
|
Value
|
|
TRADELINK BROKERAGE LINK ACCOUNT
|
|||
Participant - Directed Brokerage Account
|
$ 263,866
|
||
ADMINISTRATIVE FUND
|
|||
**EB Temporary Investment Fund II - Common Collective Trust
|
3,281
|
||
KODAK STOCK FUND
|
|||
**Eastman Kodak Company - Common Stock
|
5,484
|
30,270
|
|
**EB Temporary Investment Fund II - Common Collective Trust
|
1,500
|
||
Rovi Corp
|
1
|
5
|
|
Total Other Investments
|
$ 35,056
|
||
BARCLAYS GLOBAL INVESTORS US DEBT INDEX FUND - Common Collective Trust
|
2,630
|
64,927
|
|
BARCLAYS GLOBAL INVESTORS EAFE EQUITY INDEX FUND - Common Collective Trust
|
4,927
|
136,036
|
|
BARCLAYS GLOBAL INVESTORS RUSSELL 2000 INDEX FUND - Common Collective Trust
|
7,239
|
154,400
|
|
BARCLAYS GLOBAL INVESTORS EQUITY INDEX FUND - Common Collective Trust
|
14,953
|
301,908
|
|
Total Barclays Funds
|
$ 657,271
|
||
Total Plan Investments
|
$ 6,697,035
|
||
**Participant Loans - Interest rates range from 3.25% to 8.25% and
maturity dates range from January 2011 through
January 2015
|
$ 25,065
|
||