Item 1. Schedule of Investments: -------------------------------- Putnam Master Income Trust QUARTERLY PORTFOLIO HOLDINGS 7-31-04 [LOGO OMITTED: scales] Putnam Master Income Trust ----------------------------------------------------------------------------------------------------------- The fund's portfolio July 31, 2004 (Unaudited) Corporate bonds and notes (41.4%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- Basic Materials (4.4%) ----------------------------------------------------------------------------------------------------------- $325,000 Acetex Corp. sr. notes 10 7/8s, 2009 (Canada) $355,063 280,000 AK Steel Corp. company guaranty 7 7/8s, 2009 266,700 345,000 AK Steel Corp. company guaranty 7 3/4s, 2012 319,125 340,000 Avecia Group PLC company guaranty 11s, 2009 (United Kingdom) 260,100 315,000 BCP Caylux Holdings Luxembourg SCA 144A sr. sub. notes 9 5/8s, 2014 (Luxembourg) 326,025 390,000 Compass Minerals Group, Inc. company guaranty 10s, 2011 432,900 155,000 Compass Minerals International, Inc. sr. disc. notes stepped-coupon zero % (12s, 6/1/08), 2013 (STP) 120,900 420,000 Compass Minerals International, Inc. sr. notes stepped-coupon zero % (12 3/4s, 12/15/07), 2012 (STP) 344,400 653,280 Doe Run Resources Corp. company guaranty Ser. A1, 11 3/4s, 2008 (PIK) 489,960 415,000 Dow Chemical Co. (The) notes 5 3/4s, 2009 437,299 115,000 Equistar Chemicals LP notes 8 3/4s, 2009 118,738 910,000 Equistar Chemicals LP/Equistar Funding Corp. company guaranty 10 1/8s, 2008 991,900 200,000 Four M Corp. sr. notes Ser. B, 12s, 2006 200,000 230,000 Georgia-Pacific Corp. bonds 7 3/4s, 2029 230,000 500,000 Georgia-Pacific Corp. debs. 7.7s, 2015 540,000 365,000 Gerdau Ameristeel Corp. sr. notes 10 3/8s, 2011 (Canada) 406,975 74,250 Graphics Packaging bank term loan FRN 4.35s, 2010 (acquired 8/6/03, cost $74,250) (RES) 75,333 174,563 Hercules, Inc. bank term loan FRN 3.497s, 2010 (acquired 4/7/04 , cost $174,563) (RES) 175,435 550,000 Hercules, Inc. company guaranty 11 1/8s, 2007 643,500 105,000 Huntsman Advanced Materials, LLC 144A sec. FRN 10s, 2008 110,250 125,000 Huntsman Advanced Materials, LLC 144A sec. notes 11s, 2010 141,875 426,000 Huntsman Co., LLC sr. disc. notes zero %, 2008 247,080 265,000 Huntsman ICI Chemicals, Inc. company guaranty 10 1/8s, 2009 269,638 845,000 Huntsman ICI Holdings sr. disc. notes zero %, 2009 422,500 EUR 225,000 Huntsman International, LLC sr. sub. notes Ser. EXCH, 10 1/8s, 2009 270,471 $215,000 Huntsman LLC company guaranty 11 5/8s, 2010 239,188 160,000 Huntsman, LLC 144A company guaranty 11 1/2s, 2012 160,800 70,000 International Steel Group, Inc. 144A sr. notes 6 1/2s, 2014 66,325 765,000 ISP Chemco, Inc. company guaranty Ser. B, 10 1/4s, 2011 852,975 30,000 Kaiser Aluminum & Chemical Corp. sr. notes Ser. B, 10 7/8s, 2006 (In default) (NON) 31,650 345,000 Kaiser Aluminum & Chemical Corp. sr. sub. notes 12 3/4s, 2003 (In default) (NON)(DEF) 65,550 40,000 Lyondell Chemical Co. bonds 11 1/8s, 2012 44,650 400,000 Lyondell Chemical Co. company guaranty 9 1/2s, 2008 418,500 320,000 Lyondell Chemical Co. notes Ser. A, 9 5/8s, 2007 338,000 EUR 235,000 MDP Acquisitions PLC sr. notes 10 1/8s, 2012 (Ireland) 313,330 $45,000 MDP Acquisitions PLC sr. notes 9 5/8s, 2012 (Ireland) 50,400 188,351 MDP Acquisitions PLC sub. notes 15 1/2s, 2013 (Ireland) (PIK) 219,429 660,000 Millennium America, Inc. company guaranty 9 1/4s, 2008 712,800 80,000 Millennium America, Inc. 144A sr. notes 9 1/4s, 2008 86,400 62,254 Nalco Co. bank term loan FRN Ser. B, 4.126s, 2010 (acquired 11/6/03, cost $62,254) (RES) 63,158 EUR 40,000 Nalco Co. 144A sr. notes 7 3/4s, 2011 50,564 EUR 40,000 Nalco Co. 144A sr. sub. notes 9s, 2013 50,371 $565,000 Nalco Co. 144A sr. sub. notes 8 7/8s, 2013 593,250 305,000 Norska Skog Canada Ltd. sr. notes 7 3/8s, 2014 (Canada) 303,475 233,383 PCI Chemicals Canada sec. sr. notes 10s, 2008 (Canada) 226,382 73,902 Pioneer Companies, Inc. sec. FRN 5.086s, 2006 69,837 430,000 Potlatch Corp. company guaranty 10s, 2011 483,750 70,000 Resolution Performance Products, LLC sr. notes 9 1/2s, 2010 73,150 EUR 235,000 SGL Carbon SA 144A sr. notes 8 1/2s, 2012 (Luxembourg) 274,995 $116,876 SGL Carbon, LLC bank term loan FRN 4.22s, 2009 (acquired 2/26/04, cost $117,461) (RES) 116,876 105,000 Smurfit-Stone Container Corp. company guaranty 8 1/4s, 2012 112,088 20,000 Smurfit-Stone Container Corp. company guaranty 7 1/2s, 2013 20,300 370,000 Steel Dynamics, Inc. company guaranty 9 1/2s, 2009 410,700 81,826 Sterling Chemicals, Inc. sec. notes 10s, 2007 (PIK) 76,916 305,000 Stone Container Corp. sr. notes 9 3/4s, 2011 337,025 120,000 Stone Container Corp. sr. notes 8 3/8s, 2012 128,400 80,000 Stone Container Finance 144A company guaranty 7 3/8s, 2014 (Canada) 81,400 475,000 Ucar Finance, Inc. company guaranty 10 1/4s, 2012 532,000 215,000 United Agri Products 144A sr. notes 8 1/4s, 2011 233,275 274,000 United States Steel Corp. sr. notes 9 3/4s, 2010 304,825 160,000 Wellman 1st. lien bank term loan FRN 6s, 2009 (acquired 2/4/04, cost $160,000) (RES) 162,333 145,000 Wellman 2nd. lien bank term loan FRN 8 3/4s, 2010 (acquired 2/4/04, cost $142,100) (RES) 141,617 22,805 Wheeling-Pittsburgh Steel Corp. sr. notes 6s, 2010 15,507 43,545 Wheeling-Pittsburgh Steel Corp. sr. notes 5s, 2011 29,175 105,000 WHX Corp. sr. notes 10 1/2s, 2005 97,650 ------------- 16,785,183 Capital Goods (3.5%) ----------------------------------------------------------------------------------------------------------- 280,000 AEP Industries, Inc. sr. sub. notes 9 7/8s, 2007 287,000 520,612 Air2 US 144A sinking fund Ser. D, 12.266s, 2020 (In default) (NON) 5 82,526 Allied Waste Industries, Inc. bank term loan FRN 4.136s, 2010 (acquired 4/25/03, cost $82,526) (RES) 83,542 13,929 Allied Waste Industries, Inc. bank term loan FRN Ser. C, 1.369s, 2010 (acquired 4/25/03, cost $13,929) (RES) 14,144 645,000 Allied Waste North America, Inc. company guaranty Ser. B, 8 1/2s, 2008 704,663 295,000 Allied Waste North America, Inc. sec. notes 6 1/2s, 2010 292,050 99,000 Amsted Industries bank term loan FRN 5.364s, 2010 (acquired 8/12/03, cost $98,505) (RES) 101,104 295,000 Argo-Tech Corp. 144A sr. notes 9 1/4s, 2011 308,275 335,000 BE Aerospace, Inc. sr. sub. notes 9 1/2s, 2008 339,188 110,000 BE Aerospace, Inc. sr. sub. notes Ser. B, 8 7/8s, 2011 107,250 245,000 BE Aerospace, Inc. sr. sub. notes Ser. B, 8s, 2008 236,425 70,000 Berry Plastics Corp. company guaranty 10 3/4s, 2012 77,875 465,000 Blount, Inc. company guaranty 13s, 2009 499,875 350,000 Browning-Ferris Industries, Inc. debs. 7.4s, 2035 311,500 290,000 Browning-Ferris Industries, Inc. sr. notes 6 3/8s, 2008 295,800 95,000 Crown Cork & Seal Company, Inc. bank term loan FRN Ser. B, 4.586s, 2008 (acquired 2/21/03, cost $94,050) (RES) 96,306 EUR 45,000 Crown Holdings SA bonds 10 1/4s, 2011 (France) 61,083 $475,000 Crown Holdings SA notes 10 7/8s, 2013 (France) 545,063 215,000 Crown Holdings SA notes 9 1/2s, 2011 (France) 235,425 500,000 Decrane Aircraft Holdings Co. company guaranty Ser. B, 12s, 2008 325,000 71,591 EaglePicher bank term loan FRN 4.41s, 2009 (acquired 8/6/03, cost $72,028) (RES) 72,083 380,000 Earle M. Jorgensen Co. sec. notes 9 3/4s, 2012 418,000 345,000 FIMEP SA sr. notes 10 1/2s, 2013 (France) 396,750 EUR 195,000 Flender Holdings 144A sr. notes 11s, 2010 (Germany) 267,744 $100,801 Flowserve Corp. bank term loan FRN Ser. C, 4.212s, 2009 (acquired various dates from 4/30/02 to 2/26/04, cost $101,501) (RES) 101,998 297,000 Flowserve Corp. company guaranty 12 1/4s, 2010 336,353 99,298 Graham Packaging bank term loan FRN 4.291s, 2010 (acquired 2/18/03, cost $98,802) (RES) 99,753 365,000 Hexcel Corp. sr. sub. notes 9 3/4s, 2009 382,338 DEM 405,000 Impress Metal Packaging Holding NV sr. sub. notes 9 7/8s, 2007 (Netherlands) 240,570 $79,834 Invensys, PLC bank term loan FRN 5.477s, 2009 (acquired 3/11/04, cost $79,634) (United Kingdom) (RES) 81,031 505,000 Invensys, PLC notes 9 7/8s, 2011 (United Kingdom) 508,788 275,000 K&F Industries, Inc. sr. sub. notes Ser. B, 9 5/8s, 2010 300,438 120,000 L-3 Communications Corp. company guaranty 7 5/8s, 2012 128,100 220,000 L-3 Communications Corp. company guaranty 6 1/8s, 2013 213,400 385,000 Legrand SA debs. 8 1/2s, 2025 (France) 406,175 40,000 Manitowoc Co., Inc. (The) company guaranty 10 1/2s, 2012 45,600 EUR 95,000 Manitowoc Co., Inc. (The) company guaranty 10 3/8s, 2011 127,123 $120,000 Manitowoc Co., Inc. (The) sr. notes 7 1/8s, 2013 121,800 94,495 Mueller Group bank term loan FRN 4.559s, 2011 (acquired 4/22/04, cost $94,495) (RES) 95,263 100,000 Mueller Group Inc. 144A sec. FRN 6.444s, 2011 103,000 140,000 Mueller Group Inc. 144A sr. sub. notes 10s, 2012 147,000 300,000 Owens-Brockway Glass company guaranty 8 1/4s, 2013 314,250 280,000 Owens-Brockway Glass company guaranty 7 3/4s, 2011 296,800 370,000 Owens-Brockway Glass sr. sec. notes 8 3/4s, 2012 407,000 275,000 Pliant Corp. sec. notes 11 1/8s, 2009 297,000 97,500 Roper bank term loan FRN 3.61s, 2008 (acquired 12/22/03, cost $97,500) (RES) 98,800 630,000 Sequa Corp. sr. notes 9s, 2009 680,400 125,000 Siebe PLC 144A sr. unsub. 6 1/2s, 2010 (United Kingdom) 112,500 99,750 Solo Cup Co. bank term loan FRN 3.945s, 2011 (acquired 2/19/04, cost $100,319) (RES) 100,831 65,000 Solo Cup Co. 144A sr. sub. notes 8 1/2s, 2014 59,800 415,000 Tekni-Plex, Inc. company guaranty Ser. B, 12 3/4s, 2010 404,625 245,000 Tekni-Plex, Inc. 144A sr. sec. notes 8 3/4s, 2013 237,344 100,000 Terex Corp. company guaranty 9 1/4s, 2011 111,250 380,000 Terex Corp. company guaranty Ser. B, 10 3/8s, 2011 423,700 24,875 Transdigm, Inc. bank term loan FRN 3.61s, 2010 (acquired 4/19/04, cost $24,875) (RES) 25,171 215,000 Trimas Corp. company guaranty 9 7/8s, 2012 224,675 200,000 Vought Aircraft Industries, Inc. 144A sr. notes 8s, 2011 196,000 ------------- 13,505,026 Communication Services (3.4%) ----------------------------------------------------------------------------------------------------------- 173,000 Alamosa Delaware, Inc. company guaranty 11s, 2010 189,003 145,000 Alamosa Delaware, Inc. company guaranty stepped-coupon zero % (12s, 7/31/05), 2009 (STP) 141,738 225,000 Alamosa Delaware, Inc. 144A sr. notes 8 1/2s, 2012 219,938 105,000 American Cellular Corp. company guaranty 9 1/2s, 2009 90,300 430,000 American Cellular Corp. sr. notes Ser. B, 10s, 2011 374,100 195,000 American Tower Corp. 144A sr. notes 7 1/2s, 2012 191,588 405,000 American Towers, Inc. company guaranty 7 1/4s, 2011 408,038 300,000 Asia Global Crossing, Ltd. sr. notes 13 3/8s, 2010 (Bermuda) (In default) (NON) 27,000 475,000 Centennial Cellular Operating Co. company guaranty 10 1/8s, 2013 489,250 80,000 Cincinnati Bell Telephone Co. company guaranty 6.3s, 2028 69,600 200,000 Cincinnati Bell, Inc. company guaranty 7 1/4s, 2013 186,500 215,000 Cincinnati Bell, Inc. notes 7 1/4s, 2023 191,350 440,000 Cincinnati Bell, Inc. sr. sub. notes 8 3/8s, 2014 387,200 191,573 Colo.com, Inc. 144A sr. notes 13 7/8s, 2010 (In default) (NON) 19 50,000 Consolidated Communications bank term loan FRN 4.081s, 2012 (acquired 4/7/04, cost $50,000) (RES) 50,875 49,625 Crown Castle International Corp. bank term loan FRN 5.09s, 2010 (acquired 10/3/03, cost $49,625) (RES) 49,687 410,000 Crown Castle International Corp. sr. notes 9 3/8s, 2011 462,275 49,625 Dobson Communications Corp. bank term loan FRN 4.915s, 2010 (acquired 10/20/03, cost $49,625) (RES) 49,679 230,000 Dobson Communications Corp. sr. notes 8 7/8s, 2013 175,950 140,000 Eircom Funding notes 8 1/4s, 2013 (Ireland) 147,000 210,000 Fairpoint Communications, Inc. sr. sub. notes 12 1/2s, 2010 228,900 186,311 Firstworld Communication Corp. sr. disc. notes zero %, 2008 (In default) (NON) 19 117,944 Globix Corp. company guaranty 11s, 2008 (PIK) 98,483 455,000 Inmarsat Finance PLC 144A company guaranty 7 5/8s, 2012 (United Kingdom) 435,663 160,000 iPCS, Inc. 144A sr. notes 11 1/2s, 2012 165,200 405,000 Level 3 Financing Inc. 144A sr. notes 10 3/4s, 2011 346,275 390,000 Madison River Capital Corp. sr. notes 13 1/4s, 2010 414,375 557,000 MCI, Inc. sr. notes 7.735s, 2014 501,996 137,000 MCI, Inc. sr. notes 6.688s, 2009 126,211 3,000 MCI, Inc. sr. notes 5.908s, 2007 2,906 116,083 Nextel bank term loan FRN Ser. E, 3.813s, 2010 (acquired 12/19/02, cost $107,377) (RES) 116,830 795,000 Nextel Communications, Inc. sr. notes 7 3/8s, 2015 834,750 20,000 Nextel Partners, Inc. sr. notes 12 1/2s, 2009 23,300 675,000 Nextel Partners, Inc. sr. notes 8 1/8s, 2011 695,250 450,000 PanAmSat Corp. company guaranty 8 1/2s, 2012 519,188 105,625 Qwest Communications International, Inc. bank term loan FRN 6 1/2s, 2007 (acquired 6/5/03, cost $104,569) (RES) 109,388 675,000 Qwest Communications International, Inc. 144A sr. notes 7 1/2s, 2014 631,125 120,000 Qwest Communications International, Inc. 144A sr. notes FRN 4.75s, 2009 114,600 1,300,000 Qwest Corp. 144A notes 9 1/8s, 2012 1,430,000 195,000 Qwest Services Corp. 144A notes 14 1/2s, 2014 234,000 145,000 Rogers Wireless, Inc. sec. notes 9 5/8s, 2011 (Canada) 163,125 170,000 Rural Cellular Corp. sr. sub. notes Ser. B, 9 5/8s, 2008 161,500 90,000 SBA Communications Corp. sr. notes 10 1/4s, 2009 93,150 50,000 SBA Senior Finance, Inc. bank term loan FRN 4.687s, 2008 (acquired 2/3/04, cost $50,000) (RES) 50,328 175,000 SBA Telecommunications Inc./SBA Communication Corp. sr. disc. notes stepped-coupon zero % (9 3/4s, 12/15/07), 2011 132,563 205,000 Triton PCS, Inc. company guaranty 8 3/4s, 2011 158,363 365,000 TSI Telecommunication Services, Inc. company guaranty Ser. B, 12 3/4s, 2009 392,375 225,000 UbiquiTel Operating Co. bonds stepped-coupon zero % (14s, 4/15/05), 2010 (STP) 226,125 195,000 UbiquiTel Operating Co. sr. notes 9 7/8s, 2011 193,538 290,000 Western Wireless Corp. sr. notes 9 1/4s, 2013 296,525 ------------- 12,797,141 Consumer Cyclicals (10.0%) ----------------------------------------------------------------------------------------------------------- 33,140 Advance Stores bank term loan FRN Ser. C, 3.312s, 2007 (acquired 3/4/03, cost $33,140) (RES) 33,533 155,000 Ameristar Casinos, Inc. company guaranty 10 3/4s, 2009 174,375 90,000 Argosy Gaming Co. sr. sub. notes 9s, 2011 99,900 350,000 Argosy Gaming Co. 144A sr. sub. notes 7s, 2014 348,688 240,000 Asbury Automotive Group, Inc. sr. sub. notes 8s, 2014 225,600 475,000 Autonation, Inc. company guaranty 9s, 2008 536,750 80,000 Beazer Homes USA, Inc. company guaranty 8 3/8s, 2012 85,600 66,454 Borgata Resorts bank term loan FRN Ser. B, 4.126s, 2007 (acquired 6/5/02, cost $66,289) (RES) 66,911 315,000 Boyd Gaming Corp. sr. sub. notes 8 3/4s, 2012 340,200 85,000 Boyd Gaming Corp. sr. sub. notes 7 3/4s, 2012 87,550 180,000 Building Materials Corp. company guaranty 8s, 2008 180,000 190,000 Chumash Casino & Resort Enterprise 144A sr. notes 9s, 2010 207,100 87,500 Coinmach Corp. bank term loan FRN Ser. B, 4.316s, 2009 (acquired 1/31/02, cost $87,391) (RES) 88,200 650,000 Coinmach Corp. sr. notes 9s, 2010 659,750 420,000 Collins & Aikman Products company guaranty 10 3/4s, 2011 424,200 24,619 Corrections Corporation of America bank term loan FRN 3.36s, 2008 (acquired 6/7/04, cost $24,619) (RES) 24,958 55,000 D.R. Horton, Inc. company guaranty 8s, 2009 61,325 350,000 D.R. Horton, Inc. sr. notes 7 7/8s, 2011 388,500 80,000 D.R. Horton, Inc. sr. notes 6 7/8s, 2013 83,000 220,000 D.R. Horton, Inc. sr. notes 5 7/8s, 2013 214,225 90,000 Dana Corp. notes 10 1/8s, 2010 102,600 300,000 Dana Corp. notes 9s, 2011 354,000 50,000 Dana Corp. notes 7s, 2029 49,500 155,000 Dana Corp. notes 6 1/2s, 2009 162,750 305,000 Dayton Superior Corp. sec. notes 10 3/4s, 2008 312,625 85,000 Delco Remy International, Inc. company guaranty 11s, 2009 91,163 285,000 Delco Remy International, Inc. 144A sr. sub. notes 9 3/8s, 2012 275,025 240,472 Derby Cycle Corp. (The) sr. notes 10s, 2008 (In default) (NON) 24 DEM 688,142 Derby Cycle Corp. (The) sr. notes 9 3/8s, 2008 (In default) (NON) 42 $600,000 Dex Media East, LLC/Dex Media East Finance Co. sr. notes Ser. B, 8 1/2s, 2010 660,000 89,120 Dex Media West, LLC bank term loan FRN 3.691s, 2010 (acquired 9/9/03, cost $89,120) (RES) 90,736 275,000 Dex Media, Inc. 144A disc. notes stepped-coupon zero % (9s, 11/15/08), 2013 (STP) 191,125 310,000 Dex Media, Inc. 144A notes 8s, 2013 311,550 100,000 Dura Operating Corp. company guaranty Ser. B, 8 5/8s, 2012 99,000 270,000 Dura Operating Corp. company guaranty Ser. D, 9s, 2009 257,850 56,000 FelCor Lodging LP company guaranty 10s, 2008 (R) 59,080 260,000 Finlay Fine Jewelry Corp. 144A sr. notes 8 3/8s, 2012 273,000 375,000 Gaylord Entertainment Co. sr. notes 8s, 2013 385,781 80,000 Goodyear Tire & Rubber Co. (The) bank term loan FRN 6.059s, 2006 (acquired 2/19/04, cost $80,000) (RES) 80,775 770,000 Goodyear Tire & Rubber Co. (The) notes 7.857s, 2011 716,100 110,000 Goodyear Tire & Rubber Co. (The) notes 6 3/8s, 2008 103,400 93,058 Hayes Lemmerz International, Inc. bank term loan FRN 5.1s, 2009 (acquired 6/3/03, cost $92,128) (RES) 94,774 215,000 Herbst Gaming, Inc. 144A sr. sub. notes 8 1/8s, 2012 212,313 455,000 Hilton Hotels Corp. notes 7 5/8s, 2012 502,206 324,000 HMH Properties, Inc. company guaranty Ser. B, 7 7/8s, 2008 332,910 710,734 Hollinger Participation Trust 144A sr. notes 12 1/8s, 2010 (Canada) (PIK) 831,559 530,000 Hollywood Park, Inc. company guaranty Ser. B, 9 1/4s, 2007 543,250 490,000 Horseshoe Gaming Holdings company guaranty 8 5/8s, 2009 510,825 151,000 Host Marriott LP sr. notes Ser. E, 8 3/8s, 2006 (R) 159,683 410,000 Host Marriott LP 144A sr. notes 7s, 2012 404,875 180,000 Houghton Mifflin Co. sr. sub. notes 9 7/8s, 2013 184,950 470,000 Icon Health & Fitness company guaranty 11 1/4s, 2012 512,300 49,625 IESI Corp. bank term loan FRN 4.601s, 2010 (acquired various dates from 10/20/03 to 10/21/03, cost $49,896) (RES) 50,369 345,000 IESI Corp. company guaranty 10 1/4s, 2012 374,325 150,000 Inn of the Mountain Gods sr. notes 12s, 2010 168,000 275,000 ITT Corp. debs. 7 3/8s, 2015 281,188 320,000 ITT Corp. notes 6 3/4s, 2005 331,600 515,000 JC Penney Co., Inc. debs. 7.95s, 2017 581,950 95,000 JC Penney Co., Inc. debs. 7.65s, 2016 104,500 235,000 JC Penney Co., Inc. debs. 7 1/8s, 2023 244,400 15,000 JC Penney Co., Inc. notes 8s, 2010 16,838 870,000 John Q. Hammons Hotels LP/John Q. Hammons Hotels Finance Corp. III 1st mtge. Ser. B, 8 7/8s, 2012 957,000 510,000 Jostens Holding Corp. sr. disc. notes stepped-coupon zero % (10 1/4s, 12/1/08), 2013 (STP) 341,700 86,213 Jostens, Inc. bank term loan FRN Ser. B, 3.869s, 2010 (acquired 7/28/03, cost $86,213) (RES) 87,290 285,000 Jostens, Inc. sr. sub. notes 12 3/4s, 2010 322,050 75,000 K. Hovnanian Enterprises, Inc. company guaranty 10 1/2s, 2007 86,625 310,000 K. Hovnanian Enterprises, Inc. company guaranty 8 7/8s, 2012 338,675 205,000 K. Hovnanian Enterprises, Inc. company guaranty 6 3/8s, 2014 191,675 160,000 K. Hovnanian Enterprises, Inc. sr. notes 6 1/2s, 2014 151,600 190,000 K2, Inc. 144A sr. notes 7 3/8s, 2014 193,325 720,000 Laidlaw International, Inc. sr. notes 10 3/4s, 2011 797,400 81,481 Lamar Media Corp. bank term loan FRN 3 3/8s, 2010 (acquired 2/27/03, cost $81,482) (RES) 82,215 305,000 Lamar Media Corp. company guaranty 7 1/4s, 2013 314,913 50,000 Landsource bank term loan FRN 4s, 2010 (acquired 1/12/04, cost $50,000) (RES) 50,656 505,000 Levi Strauss & Co. sr. notes 12 1/4s, 2012 512,575 235,000 Mandalay Resort Group sr. notes 6 3/8s, 2011 239,700 380,000 Meristar Hospitality Corp. company guaranty 9 1/8s, 2011 (R) 392,350 205,000 Meristar Hospitality Corp. company guaranty 9s, 2008 (R) 212,175 160,000 Meritage Corp. company guaranty 9 3/4s, 2011 176,800 85,000 Meritage Corp. sr. notes 7s, 2014 81,600 215,000 Meritor Automotive, Inc. notes 6.8s, 2009 216,075 340,000 Metaldyne Corp. 144A sr. notes 10s, 2013 340,000 425,000 MGM Mirage, Inc. company guaranty 8 1/2s, 2010 469,625 260,000 MGM Mirage, Inc. company guaranty 6s, 2009 258,050 30,000 Mohegan Tribal Gaming Authority sr. notes 8 1/8s, 2006 32,175 100,000 Mohegan Tribal Gaming Authority sr. sub. notes 8 3/8s, 2011 113,750 685,000 Mohegan Tribal Gaming Authority sr. sub. notes 6 3/8s, 2009 689,281 300,000 Nortek Holdings, Inc. 144A sr. notes stepped-coupon zero % (10s, 11/15/07), 2011 (STP) 250,800 220,000 Nortek, Inc. sr. sub. notes Ser. B, 9 7/8s, 2011 256,850 115,000 Owens Corning bonds 7 1/2s, 2018 (In default) (NON) 50,025 460,000 Owens Corning notes 7 1/2s, 2005 (In default) (NON) 200,100 245,000 Oxford Industries, Inc. 144A sr. notes 8 7/8s, 2011 260,925 490,000 Park Place Entertainment Corp. sr. notes 7 1/2s, 2009 534,100 265,000 Park Place Entertainment Corp. sr. notes 7s, 2013 276,594 200,000 Park Place Entertainment Corp. sr. sub. notes 8 7/8s, 2008 222,500 63,039 Penn National Gaming, Inc. bank term loan FRN 4.07s, 2010 (acquired 2/19/03, cost $62,961) (RES) 63,922 255,000 Penn National Gaming, Inc. company guaranty Ser. B, 11 1/8s, 2008 279,863 500,000 Penn National Gaming, Inc. sr. sub. notes 8 7/8s, 2010 546,875 108,588 PETCO Animal Supplies, Inc. bank term loan FRN 3.61s, 2009 (acquired 8/6/03, cost $108,588) (RES) 109,810 120,000 Phillips-Van Heusen Corp. 144A sr. notes 7 1/4s, 2011 122,400 61,976 Pinnacle Entertainment, Inc. bank term loan FRN 4.84s, 2009 (acquired 12/15/03, cost $61,976) (RES) 62,751 300,000 Pinnacle Entertainment, Inc. sr. sub. notes 8 3/4s, 2013 298,500 135,000 Pinnacle Entertainment, Inc. sr. sub. notes 8 1/4s, 2012 129,600 63,587 PRIMEDIA, Inc. bank term loan FRN Ser. B, 4 1/4s, 2009 (acquired 2/10/03, cost $60,885) (RES) 60,885 590,000 PRIMEDIA, Inc. company guaranty 8 7/8s, 2011 579,675 435,000 PRIMEDIA, Inc. 144A sr. notes 8s, 2013 404,550 195,000 Reader's Digest Association, Inc. (The) sr. notes 6 1/2s, 2011 193,050 375,000 Resorts International Hotel and Casino, Inc. company guaranty 11 1/2s, 2009 421,875 123,154 RH Donnelley Finance Corp. I bank term loan FRN Ser. B, 3.786s, 2010 (acquired 12/4/02, cost $123,155) (RES) 124,502 70,000 RH Donnelley Finance Corp. I company guaranty 8 7/8s, 2010 77,000 500,000 RH Donnelley Finance Corp. I 144A sr. notes 8 7/8s, 2010 550,000 250,000 RH Donnelley Finance Corp. I 144A sr. sub. notes 10 7/8s, 2012 292,500 360,000 Russell Corp. company guaranty 9 1/4s, 2010 385,200 597,000 Saks, Inc. company guaranty 7s, 2013 585,060 640,000 Samsonite Corp. 144A sr. sub. notes 8 7/8s, 2011 651,200 210,000 Schuler Homes, Inc. company guaranty 10 1/2s, 2011 240,450 123,442 Scientific Gaming bank term loan FRN 3.84s, 2008 (acquired 7/21/04, cost $122,825) (RES) 124,779 77,857 Sealy Mattress Co. bank term loan FRN 4.221s, 2012 (acquired 4/2/04, cost $77,857) (RES) 78,960 585,000 Sealy Mattress Co. 144A sr. sub. notes 8 1/4s, 2014 585,000 46,059 SPX Corp. bank term loan FRN Ser. B, 3 3/8s, 2009 (acquired various dates from 7/23/02 to 8/26/03, cost $46,059) (RES) 46,721 225,000 Standard Pacific Corp. sr. notes 7 3/4s, 2013 231,188 25,000 Starwood Hotels & Resorts Worldwide, Inc. company guaranty 7 7/8s, 2012 26,938 210,000 Starwood Hotels & Resorts Worldwide, Inc. company guaranty 7 3/8s, 2007 221,550 245,000 Station Casinos, Inc. sr. notes 6s, 2012 238,875 275,000 Station Casinos, Inc. sr. sub. notes 6 7/8s, 2016 267,438 180,000 Technical Olympic USA, Inc. company guaranty 10 3/8s, 2012 190,350 120,000 Technical Olympic USA, Inc. company guaranty 9s, 2010 123,600 EUR 80,000 Teksid Aluminum 144A company guaranty 11 3/8s, 2011 (Luxembourg) 83,310 $410,000 Tenneco Automotive, Inc. sec. notes Ser. B, 10 1/4s, 2013 467,400 655,000 Trump Atlantic City Associates company guaranty 11 1/4s, 2006 576,400 287,000 Trump Casino Holdings, LLC company guaranty 12 5/8s, 2010 293,458 69,825 TRW Automotive bank term loan FRN 4 1/8s, 2011 (acquired 1/7/04, cost $69,772) (RES) 71,003 270,000 United Auto Group, Inc. company guaranty 9 5/8s, 2012 295,650 470,000 Vertis, Inc. company guaranty Ser. B, 10 7/8s, 2009 513,475 390,000 Vertis, Inc. sub. notes 13 1/2s, 2009 397,800 170,000 Von Hoffman Press, Inc. company guaranty 10 3/8s, 2007 171,700 370,000 Von Hoffman Press, Inc. company guaranty 10 1/4s, 2009 403,300 220,907 Von Hoffman Press, Inc. debs. 13s, 2009 (PIK) 215,384 435,000 WCI Communities, Inc. company guaranty 9 1/8s, 2012 468,713 214,000 William Carter Holdings Co. (The) company guaranty Ser. B, 10 7/8s, 2011 240,750 110,000 WRC Media Corp. bank term loan FRN 6.761s, 2009 (acquired 3/25/04, cost $110,000) (RES) 109,656 295,000 WRC Media Corp. sr. sub. notes 12 3/4s, 2009 268,450 36,000 Yell Finance BV sr. notes 10 3/4s, 2011 (Netherlands) 41,346 ------------- 37,983,342 Consumer Staples (5.7%) ----------------------------------------------------------------------------------------------------------- 50,000 Adelphia Communications Corp. notes Ser. B, 9 7/8s, 2005 (In default) (NON) 43,000 250,000 Adelphia Communications Corp. sr. notes 10 7/8s, 2010 (In default) (NON) 218,750 30,000 Adelphia Communications Corp. sr. notes 9 3/8s, 2009 (In default) (NON) 26,250 110,000 Adelphia Communications Corp. sr. notes Ser. B, 9 7/8s, 2007 (In default) (NON) 94,600 405,000 Adelphia Communications Corp. sr. notes Ser. B, 7 3/4s, 2009 (In default) (NON) 340,200 18,778 Affinity Group Holdings bank term loan FRN Ser. B1, 5.528s, 2009 (acquired 5/27/03, cost $18,732) (RES) 18,943 46,947 Affinity Group Holdings bank term loan FRN Ser. B2, 5.321s, 2009 (acquired 10/28/99, cost $46,829) (RES) 47,358 290,000 Affinity Group, Inc. 144A sr. sub. notes 9s, 2012 300,513 350,000 AMC Entertainment, Inc. sr. sub. notes 9 7/8s, 2012 358,750 295,000 AMC Entertainment, Inc. 144A sr. sub. notes 8s, 2014 272,138 440,565 American Seafood Group, LLC bank term loan FRN Ser. B, 4.59s, 2009 (acquired 4/11/02, cost $440,124) (RES) 441,574 119,700 AMF Bowling Worldwide bank term loan FRN 4.372s, 2009 (acquired 2/25/04, cost $119,700) (RES) 120,598 179,185 Archibald Candy Corp. company guaranty 10s, 2007 (In default) (NON)(PIK) 118,262 350,000 Armkel, LLC/Armkel Finance sr. sub. notes 9 1/2s, 2009 380,625 300,000 Brand Services, Inc. company guaranty 12s, 2012 345,000 348,000 Cablevision Systems Corp. 144A sr. notes 8s, 2012 341,910 265,000 Capital Records, Inc. 144A company guaranty 8 3/8s, 2009 285,853 100,000 Century Cable Holdings bank term loan FRN 6 1/4s, 2009 (acquired 6/11/02, cost $80,500) (RES) 96,521 160,000 Charter bank term loan FRN 4.42s, 2011 (acquired 4/21/04, cost $160,000) (RES) 157,580 225,000 Charter Communications Holdings, LLC/Capital Corp. sr. disc. notes stepped-coupon zero % (12 1/8s, 1/15/07), 2012 (STP) 122,063 285,000 Charter Communications Holdings, LLC/Capital Corp. sr. disc. notes stepped-coupon zero % (11 3/4s, 5/15/06), 2011 (STP) 168,150 300,000 Charter Communications Holdings, LLC/Capital Corp. sr. notes 11 1/8s, 2011 237,750 440,000 Charter Communications Holdings, LLC/Capital Corp. sr. notes 10 3/4s, 2009 354,200 225,000 Charter Communications Holdings, LLC/Capital Corp. sr. notes 10 1/4s, 2010 174,938 955,000 Charter Communications Holdings, LLC/Capital Corp. sr. notes 10s, 2011 723,413 50,000 Charter Communications Holdings, LLC/Capital Corp. sr. notes 8 5/8s, 2009 37,750 350,000 Cinemark USA, Inc. sr. sub. notes 9s, 2013 384,125 530,000 Cinemark, Inc. 144A sr. disc. notes stepped-coupon zero % (9 3/4s, 3/15/09), 2014 (STP) 349,800 60,935 Constellation Brands, Inc. bank term loan FRN 3.213s, 2008 (acquired 11/3/03, cost $60,935) (RES) 61,773 210,000 Constellation Brands, Inc. sr. sub. notes Ser. B, 8 1/8s, 2012 226,275 230,000 CSC Holdings, Inc. debs. 7 5/8s, 2018 217,925 202,000 CSC Holdings, Inc. sr. notes Ser. B, 7 5/8s, 2011 204,020 200,000 CSC Holdings, Inc. 144A sr. notes 6 3/4s, 2012 193,000 90,000 Dean Foods Co. sr. notes 6 5/8s, 2009 93,150 120,000 Del Monte Corp. company guaranty Ser. B, 9 1/4s, 2011 130,800 305,000 Del Monte Corp. sr. sub. notes 8 5/8s, 2012 332,450 79,897 Del Monte Foods Co. bank term loan FRN Ser. B, 3.505s, 2010 (acquired 12/16/02, cost $79,498) (RES) 80,996 82,592 DirecTV bank term loan FRN Ser. B, 3.607s, 2010 (acquired various dates from 3/4/03 to 8/5/03, cost $82,592) (RES) 83,645 1,162,000 Diva Systems Corp. sr. disc. notes Ser. B, 12 5/8s, 2008 (In default) (NON) 1,453 430,000 Doane Pet Care Co. sr. sub. debs. 9 3/4s, 2007 404,200 8,776 Dole Food Co. bank term loan FRN Ser. D, 4.386s, 2009 (acquired 12/8/03, cost $8,776) (RES) 8,908 145,000 Dole Food Co. sr. notes 8 7/8s, 2011 153,338 105,000 Dole Food Co. sr. notes 8 5/8s, 2009 110,250 80,000 Dole Holding Co. bank term loan FRN 6.61s, 2010 (acquired 7/20/04, cost $79,600) (RES) 79,650 266,000 Domino's, Inc. sr. sub. notes 8 1/4s, 2011 284,620 65,000 Duane Reade, Inc. 144A sr. sub. notes 9 3/4s, 2011 64,838 30,000 Eagle Family Foods company guaranty Ser. B, 8 3/4s, 2008 21,000 505,000 Echostar DBS Corp. sr. notes 6 3/8s, 2011 501,213 135,000 Elizabeth Arden, Inc. company guaranty 7 3/4s, 2014 137,869 790,000 Granite Broadcasting Corp. sec. notes 9 3/4s, 2010 722,850 34,825 Insight Midwest LP/Insight Capital, Inc. bank term loan FRN 3.938s, 2009 (acquired 11/5/01, cost $34,760) (RES) 35,314 195,000 Jean Coutu Group, Inc. 144A sr. notes 7 5/8s, 2012 (Canada) 196,463 385,000 Jean Coutu Group, Inc. 144A sr. sub. notes 8 1/2s, 2014 (Canada) 381,631 480,000 Kabel Deutsheland GmbH 144A sr. notes 10 5/8s, 2014 (Germany) 492,600 20,707 Knology, Inc. 144A sr. notes 12s, 2009 (PIK) 19,465 305,000 Land O'Lakes, Inc. sr. notes 8 3/4s, 2011 282,125 325,000 Mediacom LLC/Mediacom Capital Corp. sr. notes 9 1/2s, 2013 300,625 120,000 MGM bank term loan FRN 3.84s, 2011 (acquired 4/21/04, cost $120,000) (RES) 120,510 490,000 News America Holdings, Inc. company guaranty 9 1/4s, 2013 619,597 195,000 North Atlantic Trading Co. sr. notes 9 1/4s, 2012 191,100 270,000 Olympus Cable bank term loan FRN Ser. B, 6 1/4s, 2010 (acquired 6/20/02, cost $235,305) (RES) 260,454 375,000 Pinnacle Foods Holding Corp. 144A sr. sub. notes 8 1/4s, 2013 360,000 445,000 Playtex Products, Inc. company guaranty 9 3/8s, 2011 448,338 415,000 Playtex Products, Inc. 144A secd. notes 8s, 2011 430,563 350,000 Premier International Foods PLC sr. notes 12s, 2009 (United Kingdom) 372,750 395,000 Prestige Brands, Inc. 144A sr. sub. notes 9 1/4s, 2012 400,925 10,000 Quebecor Media, Inc. sr. disc. notes stepped-coupon zero % (13 3/4s, 7/15/06), 2011 (Canada) (STP) 9,375 305,000 Quebecor Media, Inc. sr. notes 11 1/8s, 2011 (Canada) 349,225 72,155 Rayovac Corp. bank term loan FRN Ser. B, 3.903s, 2009 (acquired 9/26/02, cost $72,082) (RES) 72,966 405,000 Remington Arms Co., Inc. company guaranty 10 1/2s, 2011 396,900 64,838 Rite Aid Corp. bank term loan FRN 4.408s, 2008 (acquired 5/16/03, cost $64,757) (RES) 66,134 305,000 Rite Aid Corp. company guaranty 9 1/2s, 2011 334,738 20,000 Rite Aid Corp. debs. 6 7/8s, 2013 18,300 40,000 Rite Aid Corp. notes 7 1/8s, 2007 40,700 205,000 Rite Aid Corp. sec. notes 8 1/8s, 2010 214,738 270,000 Rite Aid Corp. sr. notes 9 1/4s, 2013 282,825 20,000 Rite Aid Corp. 144A notes 6s, 2005 20,100 470,000 Sbarro, Inc. company guaranty 11s, 2009 415,950 39,900 Scotts Co. (The) bank term loan FRN 3.328s, 2010 (acquired 10/16/03, cost $39,900) (RES) 40,085 140,000 Scotts Co. (The) sr. sub. notes 6 5/8s, 2013 141,400 42,443 Six Flags, Inc. bank term loan FRN Ser. B, 3.87s, 2009 (acquired 1/15/03, cost $42,390) (RES) 42,832 527,000 Six Flags, Inc. sr. notes 9 5/8s, 2014 488,793 1,105,000 Six Flags, Inc. sr. notes 8 7/8s, 2010 1,023,506 78,579 Sum Media bank term loan FRN Ser. B, 3.42s, 2009 (acquired 2/4/03, cost $78,579) (RES) 79,201 155,000 Videotron Ltee company guaranty 6 7/8s, 2014 (Canada) 150,350 65,000 Vivendi Universal SA bank term loan FRN Ser. B, 4.07s, 2008 (acquired 6/23/03, cost $65,000) (France) (RES) 65,244 540,000 Vivendi Universal SA sr. notes 6 1/4s, 2008 (France) 575,100 199,500 Warner Music bank term loan FRN 4.173s, 2011 (acquired 4/8/04, cost $200,406) (RES) 202,243 390,000 Williams Scotsman, Inc. company guaranty 9 7/8s, 2007 386,100 404,000 Young Broadcasting, Inc. company guaranty 10s, 2011 408,040 200,000 Young Broadcasting, Inc. sr. sub. notes 8 3/4s, 2014 190,000 ------------- 21,602,142 Energy (3.9%) ----------------------------------------------------------------------------------------------------------- 430,000 Arch Western Finance, LLC 144A sr. notes 7 1/4s, 2013 436,450 115,000 Belden & Blake Corp. 144A sec. notes 8 3/4s, 2012 117,156 350,000 BRL Universal Equipment sec. notes 8 7/8s, 2008 373,625 300,000 CHC Helicopter Corp. 144A sr. sub. notes 7 3/8s, 2014 (Canada) 299,250 180,000 Chesapeake Energy Corp. company guaranty 9s, 2012 205,650 142,000 Chesapeake Energy Corp. company guaranty 7 3/4s, 2015 150,165 626,000 Chesapeake Energy Corp. sr. notes 7 1/2s, 2013 665,125 157,000 Chesapeake Energy Corp. sr. notes 7s, 2014 158,178 275,000 Comstock Resources, Inc. sr. notes 6 7/8s, 2012 270,188 120,000 Dresser, Inc. bank term loan FRN 4.68s, 2010 (acquired 2/27/04, cost $120,900) (RES) 122,190 380,000 Dresser, Inc. company guaranty 9 3/8s, 2011 410,400 77,000 El Paso Energy Partners LP company guaranty Ser. B, 8 1/2s, 2011 84,315 295,000 Encore Acquisition Co. company guaranty 8 3/8s, 2012 320,075 140,000 Encore Acquisition Co. 144A sr. sub. notes 6 1/4s, 2014 134,750 390,000 Exco Resources, Inc. company guaranty 7 1/4s, 2011 403,650 185,000 Forest Oil Corp. company guaranty 7 3/4s, 2014 191,938 520,000 Forest Oil Corp. sr. notes 8s, 2011 560,300 115,000 Forest Oil Corp. sr. notes 8s, 2008 123,625 175,000 Forest Oil Corp. 144A sr. notes 8s, 2011 188,563 440,000 Gazprom OAO 144A notes 9 5/8s, 2013 (Russia) 460,350 215,000 Hanover Compressor Co. sr. notes 9s, 2014 226,288 195,000 Hanover Compressor Co. sr. notes 8 5/8s, 2010 206,700 290,000 Hanover Compressor Co. sub. notes zero %, 2007 236,350 190,000 Hanover Equipment Trust sec. notes Ser. A, 8 1/2s, 2008 202,825 265,000 Hornbeck Offshore Services, Inc. sr. notes 10 5/8s, 2008 290,175 195,000 KCS Energy, Inc. 144A sr. notes 7 1/8s, 2012 195,000 160,000 Key Energy Services, Inc. sr. notes 6 3/8s, 2013 150,800 36,214 Magellan Midstream Holdings bank term loan FRN 4.65s, 2008 (acquired 6/13/03, cost $35,852) (RES) 36,667 295,000 Massey Energy Co. sr. notes 6 5/8s, 2010 300,900 380,000 Newfield Exploration Co. sr. notes 7 5/8s, 2011 408,500 255,000 Offshore Logistics, Inc. company guaranty 6 1/8s, 2013 247,350 311,190 Oslo Seismic Services, Inc. 1st mtge. 8.28s, 2011 289,407 190,000 Pacific Energy Partners/Pacific Energy Finance Corp. 144A sr. notes 7 1/8s, 2014 194,275 50,000 Parker Drilling Co. bank term loan FRN 5.72s, 2007 (acquired 10/22/03, cost $49,500) (RES) 50,156 290,000 Parker Drilling Co. company guaranty Ser. B, 10 1/8s, 2009 307,400 48,141 Peabody Energy Corp. bank term loan FRN Ser. B, 3.252s, 2010 (acquired 3/20/03, cost $48,141) (RES) 48,622 405,000 Peabody Energy Corp. sr. notes 5 7/8s, 2016 374,625 335,000 Pemex Project Funding Master Trust company guaranty 8 5/8s, 2022 358,450 300,000 Petro Geo-Services notes 10s, 2010 (Norway) 318,000 630,000 Petroleos Mexicanos company guaranty 9 1/2s, 2027 (Mexico) 724,500 550,000 Petronas Capital, Ltd. company guaranty 7 7/8s, 2022 (Malaysia) 612,590 125,000 Petronas Capital, Ltd. company guaranty 7s, 2012 (Malaysia) 137,038 205,000 Plains All American Pipeline LP/Plains All American Finance Corp. company guaranty 7 3/4s, 2012 231,389 310,000 Plains Exploration & Production Co. company guaranty Ser. B, 8 3/4s, 2012 341,000 160,000 Plains Exploration & Production Co. sr. sub. notes 8 3/4s, 2012 176,000 200,000 Plains Exploration & Production Co. 144A sr. notes 7 1/8s, 2014 205,500 350,000 Pogo Producing Co. sr. sub. notes Ser. B, 8 1/4s, 2011 383,250 360,000 Pride International, Inc. 144A sr. notes 7 3/8s, 2014 371,250 320,000 Seabulk International, Inc. company guaranty 9 1/2s, 2013 331,200 170,000 Seven Seas Petroleum, Inc. sr. notes Ser. B, 12 1/2s, 2005 (In default) (NON) 2 495,000 Star Gas Partners LP/Star Gas Finance Co. sr. notes 10 1/4s, 2013 529,650 181,923 Star Gas Propane 1st Mtge. 8.04s, 2009 195,567 80,000 Universal Compression, Inc. sr. notes 7 1/4s, 2010 83,200 170,000 Vintage Petroleum, Inc. sr. notes 8 1/4s, 2012 181,900 80,000 Vintage Petroleum, Inc. sr. sub. notes 7 7/8s, 2011 82,800 ------------- 14,705,269 Financial (0.7%) ----------------------------------------------------------------------------------------------------------- 165,000 Crescent Real Estate Equities LP notes 7 1/2s, 2007 (R) 167,475 420,000 Crescent Real Estate Equities LP sr. notes 9 1/4s, 2009 (R) 441,000 485,000 E*Trade Finance Corp. 144A sr. notes 8s, 2011 487,425 880,419 Finova Group, Inc. notes 7 1/2s, 2009 497,437 108,972 Hilb, Rogal & Hamilton Co. bank term loan FRN Ser. B, 3 7/8s, 2007 (acquired 6/20/02, cost $108,972) (RES) 110,334 305,000 iStar Financial, Inc. sr. notes 8 3/4s, 2008 (R) 343,125 70,000 iStar Financial, Inc. sr. notes 7s, 2008 (R) 74,200 230,000 iStar Financial, Inc. sr. notes 6s, 2010 (R) 230,575 290,000 Western Financial Bank sub. debs. 9 5/8s, 2012 319,000 ------------- 2,670,571 Government (0.2%) ----------------------------------------------------------------------------------------------------------- 750,000 Aries Vermoegensverwaltungs GmbH 144A notes 9.6s, 2014 (Germany) 793,125 Health Care (3.4%) ----------------------------------------------------------------------------------------------------------- 38,764 Alderwoods Group, Inc. bank term loan FRN 4.17s, 2008 (acquired 9/9/03, cost $38,764) (RES) 39,313 460,100 Alderwoods Group, Inc. company guaranty 12 1/4s, 2009 507,835 315,000 AmerisourceBergen Corp. company guaranty 7 1/4s, 2012 328,388 310,000 AmerisourceBergen Corp. sr. notes 8 1/8s, 2008 336,350 535,000 Ardent Health Services, Inc. sr. sub. notes 10s, 2013 580,475 62,031 Beverly Enterprises, Inc. bank term loan FRN 4.258s, 2008 (acquired 10/20/03, cost $61,876) (RES) 62,858 147,375 Community Health Systems, Inc. bank term loan FRN Ser. B, 3.6s, 2010 (acquired 7/11/02, cost $147,375) (RES) 147,421 99,000 Concentra bank term loan FRN 4.957s, 2009 (acquired 8/12/03, cost $99,000) (RES) 100,279 90,501 Dade Behring, Inc. company guaranty 11.91s, 2010 103,171 198,381 DaVita, Inc. bank term loan FRN Ser. B, 3.483s, 2009 (acquired various dates from 7/17/03 to 1/30/04, cost $199,537) (RES) 200,152 185,000 Extendicare Health Services, Inc. company guaranty 9 1/2s, 2010 206,044 285,000 Extendicare Health Services, Inc. 144A sr. sub. notes 6 7/8s, 2014 272,175 55,331 Fisher Scientific International, Inc. bank term loan FRN 3.34s, 2010 (acquired 2/13/03, cost $55,331) (RES) 55,562 80,000 Fisher Scientific International, Inc. bank term loan FRN 2.61s, 2011 (acquired 6/15/04, cost $80,000) (RES) 80,650 49,625 Hanger Orthopedic Group, Inc. bank term loan FRN 4.34s, 2009 (acquired 9/29/03, cost $49,625) (RES) 49,894 415,000 Hanger Orthopedic Group, Inc. company guaranty 10 3/8s, 2009 417,075 115,000 HCA, Inc. debs. 7.19s, 2015 120,602 640,000 HCA, Inc. notes 8.36s, 2024 688,470 150,000 HCA, Inc. notes 7.69s, 2025 150,444 445,000 HCA, Inc. notes 7s, 2007 474,728 110,000 HCA, Inc. notes 5 3/4s, 2014 105,984 540,000 Healthsouth Corp. notes 7 5/8s, 2012 506,250 255,000 Healthsouth Corp. sr. notes 8 1/2s, 2008 253,088 130,000 Healthsouth Corp. sr. notes 8 3/8s, 2011 125,450 110,000 Healthsouth Corp. sr. notes 7s, 2008 106,700 215,000 IASIS Healthcare/IASIS Capital Corp. 144A sr. sub. notes 8 3/4s, 2014 223,600 195,000 Insight Health Services Corp. 144A company guaranty 9 7/8s, 2011 210,113 62,125 Kinetic Concepts, Inc. bank term loan FRN 3.59s, 2011 (acquired 8/5/03, cost $62,297) (RES) 62,902 130,735 Magellan Health Services, Inc. sr. notes Ser. A, 9 3/8s, 2008 140,213 75,000 MedCath Holdings Corp. 144A sr. notes 9 7/8s, 2012 76,313 80,438 Medex, Inc. bank term loan FRN 4.38s, 2009 (acquired various dates from 5/16/03 to 6/16/03, cost $80,399) (RES) 81,016 380,000 Mediq, Inc. debs. 13s, 2009 (In default) (NON) 38 495,000 MedQuest, Inc. company guaranty Ser. B, 11 7/8s, 2012 561,825 100,000 Omega Health Care Investors 144A sr. notes 7s, 2014 95,250 405,000 Omnicare, Inc. sr. sub. notes 6 1/8s, 2013 384,750 396,000 PacifiCare Health Systems, Inc. company guaranty 10 3/4s, 2009 450,450 410,000 Province Healthcare Co. sr. sub. notes 7 1/2s, 2013 401,800 70,000 Service Corp. International debs. 7 7/8s, 2013 71,575 40,000 Service Corp. International notes 7.2s, 2006 41,800 15,000 Service Corp. International notes 6 7/8s, 2007 15,488 60,000 Service Corp. International notes 6 1/2s, 2008 61,200 145,000 Service Corp. International notes Ser. *, 7.7s, 2009 152,613 415,000 Service Corp. International 144A sr. notes 6 3/4s, 2016 391,656 390,000 Stewart Enterprises, Inc. notes 10 3/4s, 2008 433,388 220,000 Tenet Healthcare Corp. notes 7 3/8s, 2013 203,500 10,000 Tenet Healthcare Corp. sr. notes 6 1/2s, 2012 8,850 265,000 Tenet Healthcare Corp. sr. notes 6 3/8s, 2011 236,513 475,000 Tenet Healthcare Corp. 144A sr. notes 9 7/8s, 2014 493,406 435,000 Triad Hospitals, Inc. sr. notes 7s, 2012 444,788 880,000 Triad Hospitals, Inc. sr. sub. notes 7s, 2013 866,800 285,000 Universal Hospital Services, Inc. sr. notes 10 1/8s, 2011 287,138 165,000 Ventas Realty LP/Capital Corp. company guaranty 9s, 2012 183,150 40,000 VWR International Inc. bank term loan FRN 3.77s, 2011 (acquired 4/5/04, cost $40,000) (RES) 40,730 185,000 VWR International, Inc. 144A sr. notes 6 7/8s, 2012 186,850 ------------- 12,827,073 Technology (1.3%) ----------------------------------------------------------------------------------------------------------- 242,000 AMI Semiconductor, Inc. company guaranty 10 3/4s, 2013 281,930 395,000 Celestica Inc. sr.sub. notes 7 7/8s, 2011 (Canada) 403,888 269,000 DigitalNet Holdings, Inc. sr. notes 9s, 2010 287,158 390,000 Freescale Semiconductor, Inc. 144A sr. notes 7 1/8s, 2014 395,850 130,000 Iron Mountain, Inc. company guaranty 8 5/8s, 2013 139,750 295,000 Iron Mountain, Inc. sr. sub. notes 8 1/4s, 2011 306,431 40,000 Lucent Technologies, Inc. debs. 6 1/2s, 2028 30,400 555,000 Lucent Technologies, Inc. debs. 6.45s, 2029 423,188 30,000 Lucent Technologies, Inc. notes 5 1/2s, 2008 28,350 205,000 Nortel Networks Corp. notes 6 1/8s, 2006 (Canada) 204,744 275,000 ON Semiconductor Corp. company guaranty 13s, 2008 310,063 175,000 SCG Holding Corp. 144A notes zero %, 2011 243,250 235,000 Seagate Technology Hdd Holdings company guaranty 8s, 2009 (Cayman Islands) 243,813 325,000 UGS Corp. 144A sr. sub. notes 10s, 2012 344,500 420,000 Xerox Capital Trust I company guaranty 8s, 2027 380,100 110,000 Xerox Corp. company guaranty 9 3/4s, 2009 125,400 215,000 Xerox Corp. notes Ser. MTN, 7.2s, 2016 205,325 615,000 Xerox Corp. sr. notes 7 5/8s, 2013 630,375 ------------- 4,984,515 Transportation (0.6%) ----------------------------------------------------------------------------------------------------------- 25,000 Allied Holdings, Inc. company guaranty Ser. B, 8 5/8s, 2007 21,750 295,000 American Airlines, Inc. pass-through certificates Ser. 01-1, 6.817s, 2011 264,025 530,000 Calair, LLC/Calair Capital Corp. company guaranty 8 1/8s, 2008 402,800 170,000 Delta Air Lines, Inc. pass-through certificates Ser. 00-1, 7.779s, 2005 105,013 125,226 Delta Air Lines, Inc. pass-through certificates Ser. 02-1, 7.779s, 2012 65,118 500,000 Kansas City Southern Railway Co. company guaranty 9 1/2s, 2008 545,000 100,000 Kansas City Southern Railway Co. company guaranty 7 1/2s, 2009 100,625 310,000 Northwest Airlines, Inc. company guaranty 7 5/8s, 2005 300,700 127,385 NWA Trust sr. notes Ser. A, 9 1/4s, 2012 126,748 81,632 Pacer International, Inc. bank term loan FRN 4.356s, 2010 (acquired 6/10/03, cost $82,114) (RES) 82,653 100,000 Travel Centers of America, Inc. company guaranty 12 3/4s, 2009 116,000 ------------- 2,130,432 Utilities & Power (4.3%) ----------------------------------------------------------------------------------------------------------- 30,000 AES Corp. (The) sr. notes 8 7/8s, 2011 31,725 17,000 AES Corp. (The) sr. notes 8 3/4s, 2008 17,850 420,000 AES Corp. (The) 144A sec. notes 9s, 2015 457,800 595,000 AES Corp. (The) 144A sec. notes 8 3/4s, 2013 650,038 290,000 Allegheny Energy Supply 144A bonds 8 1/4s, 2012 291,450 180,000 Allegheny Energy Supply 144A sec. notes 10 1/4s, 2007 196,200 149,625 Allegheny Energy, Inc. bank term loan FRB 5.622s, 2011 (acquired 3/5/04, cost $149,625) (RES) 152,212 320,000 Calpine Canada Energy Finance company guaranty 8 1/2s, 2008 (Canada) 200,000 85,000 Calpine Corp. 144A sec. notes 8 3/4s, 2013 68,000 875,000 Calpine Corp. 144A sec. notes 8 1/2s, 2010 704,375 150,000 CenterPoint Energy Resources Corp. debs. 6 1/2s, 2008 159,987 120,000 CenterPoint Energy Resources Corp. sr. notes Ser. B, 7 7/8s, 2013 138,641 50,000 CMS Energy Corp. pass-through certificates 7s, 2005 50,313 500,000 CMS Energy Corp. sr. notes 8.9s, 2008 533,750 120,000 CMS Energy Corp. sr. notes 8 1/2s, 2011 126,000 100,000 CMS Energy Corp. 144A sr. notes 7 3/4s, 2010 102,250 340,000 DPL, Inc. sr. notes 6 7/8s, 2011 345,950 80,000 Dynegy Holdings, Inc. bank term loan FRN 5.36s, 2010 (acquired 6/8/04, cost $80,000) (RES) 81,400 160,000 Dynegy Holdings, Inc. sr. notes 6 7/8s, 2011 144,000 780,000 Dynegy Holdings, Inc. 144A sec. notes 10 1/8s, 2013 859,950 200,000 Dynegy-Roseton Danskamme company guaranty Ser. A, 7.27s, 2010 194,000 310,000 Dynegy-Roseton Danskamme company guaranty Ser. B, 7.67s, 2016 272,800 145,000 Edison Mission Energy sr. notes 10s, 2008 164,575 5,000 Edison Mission Energy sr. notes 9 7/8s, 2011 5,600 210,000 El Paso Corp. sr. notes 7 3/8s, 2012 187,425 505,000 El Paso Corp. sr. notes Ser. MTN, 7 3/4s, 2032 410,313 105,000 El Paso Natural Gas Co. debs. 8 5/8s, 2022 106,313 90,000 El Paso Natural Gas Co. sr. notes Ser. A, 7 5/8s, 2010 93,150 535,000 El Paso Production Holding Co. company guaranty 7 3/4s, 2013 509,588 345,000 Ferrellgas Partners LP/Ferrellgas Partners Finance 144A sr. notes 6 3/4s, 2014 333,788 115,000 Kansas Gas & Electric debs. 8.29s, 2016 119,698 680,000 Midwest Generation LLC 144A sec. notes 8 3/4s, 2034 720,800 450,000 Mission Energy Holding Co. sec. notes 13 1/2s, 2008 558,000 215,000 Monongahela Power Co. 144A 1st. mtge. 6.7s, 2014 219,186 360,000 Nevada Power Co. 2nd mtge. 9s, 2013 401,400 545,000 Northwest Pipeline Corp. company guaranty 8 1/8s, 2010 604,269 35,000 Northwestern Corp. debs. 6.95s, 2028 (In default) (NON) 30,363 60,000 Northwestern Corp. notes 8 3/4s, 2012 (In default) (NON) 52,500 255,000 Northwestern Corp. notes 7 7/8s, 2007 (In default) (NON) 223,125 1,080,000 NRG Energy, Inc. 144A sr. sec. notes 8s, 2013 1,104,300 310,000 Orion Power Holdings, Inc. sr. notes 12s, 2010 372,000 460,000 PG&E Corp. sec. notes 6 7/8s, 2008 488,175 85,000 PG&E Gas Transmission Northwest sr. notes 7.1s, 2005 86,913 330,000 PSEG Energy Holdings, Inc. notes 7 3/4s, 2007 348,150 260,000 SEMCO Energy, Inc. sr. notes 7 3/4s, 2013 273,000 80,000 Sierra Pacific Power Co. 144A general ref. mtge. 6 1/4s, 2012 78,400 490,000 Sierra Pacific Resources 144A sr. notes 8 5/8s, 2014 507,150 50,000 Southern California Edison Co. notes 6 3/8s, 2006 52,319 170,000 Teco Energy, Inc. notes 10 1/2s, 2007 194,650 100,000 Teco Energy, Inc. notes 7.2s, 2011 102,750 150,000 Teco Energy, Inc. notes 7s, 2012 151,125 40,000 Tennessee Gas Pipeline Co. debs. 7s, 2028 35,550 90,769 Teton Power Funding bank term loan FRN 4.8s, 2011 (acquired 2/4/04, cost $90,769) (RES) 91,563 50,000 Transcontinental Gas Pipeline Corp. debs. 7 1/4s, 2026 50,000 80,000 Unisource Energy bank term loan FRN 5.652s, 2011 (acquired 3/25/04, cost $79,200) (RES) 78,900 470,000 Utilicorp Canada Finance Corp. company guaranty 7 3/4s, 2011 (Canada) 438,275 196,000 Utilicorp United, Inc. sr. notes 9.95s, 2011 198,940 215,000 Western Resources, Inc. sr. notes 9 3/4s, 2007 244,937 80,000 Williams Cos., Inc. (The) notes 8 3/4s, 2032 84,300 80,000 Williams Cos., Inc. (The) notes 8 1/8s, 2012 87,400 290,000 Williams Cos., Inc. (The) notes 7 5/8s, 2019 292,900 380,000 Williams Cos., Inc. (The) sr. notes 8 5/8s, 2010 426,550 64,352 Williams Products bank term loan FRN 3.88s, 2007 (acquired 6/4/03, cost $64,352) (RES) 65,102 131,272 York Power Funding 144A notes 12s, 2007 (Cayman Islands) (In default) (NON) 13 ------------- 16,372,146 ------------- Total Corporate bonds and notes (cost $154,409,192) $157,155,965 Foreign government bonds and notes (14.4%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- AUD $1,759,000 Australia (Government of) bonds 6 1/4s, 2015 $1,265,522 EUR 2,000,000 Austria (Republic of) 144A notes Ser. EMTN, 3.8s, 2013 2,333,303 USD 360,000 Brazil (Federal Republic of) bonds 10 1/2s, 2014 359,640 USD 360,000 Brazil (Federal Republic of) bonds 10 1/8s, 2027 333,900 USD 525,000 Brazil (Federal Republic of) unsub. notes 11s, 2040 515,288 USD 496,000 Bulgaria (Republic of) 144A bonds 8 1/4s, 2015 586,520 CAD 1,005,000 Canada (Government of) bonds 5 1/2s, 2010 799,129 CAD 410,000 Canada (Government of) bonds Ser. WL43, 5 3/4s, 2029 328,389 USD 105,000 Colombia (Republic of) bonds 10 3/8s, 2033 107,100 USD 425,000 Colombia (Republic of) bonds Ser. NOV, 9 3/4s, 2009 463,888 USD 1,150,000 Colombia (Republic of) notes 10 3/4s, 2013 1,283,975 EUR 155,000 Colombia (Republic of) unsub. bonds Ser. 15A, 11 3/8s, 2008 213,569 USD 175,000 Dominican (Republic of) notes 9.04s, 2013 112,875 USD 795,000 Ecuador (Republic of) bonds stepped-coupon Ser. REGS, 7s (8s, 8/15/04), 2030 (STP) 589,493 USD 150,000 El Salvador (Republic of) 144A bonds 8 1/4s, 2032 141,750 EUR 760,000 France (Government of) bonds 5 3/4s, 2032 1,042,144 EUR 1,470,000 France (Government of) bonds 5 1/2s, 2010 1,937,858 EUR 3,200,000 France (Government of) bonds 4s, 2013 3,813,955 EUR 440,000 France (Government of) deb. 4s, 2009 540,310 EUR 3,310,000 Germany (Federal Republic of) bonds Ser. 97, 6s, 2007 4,313,664 EUR 2,480,000 Germany (Federal Republic of) bonds Ser. 97, 6s, 2007 3,203,626 EUR 730,000 Hellenic Greece (Republic of) bonds 3 1/2s, 2008 884,735 USD 100,000 Indonesia (Republic of) FRN 2.005s, 2006 94,750 USD 250,000 Indonesia (Republic of) FRN 2.005s, 2005 243,125 USD 855,000 Indonosia (Republic of) 144A sr. notes 6 3/4s, 2014 790,875 NZD 2,970,000 New Zealand (Government of) bonds Ser. 1106, 8s 2006 1,952,992 NZD 3,152,000 New Zealand (Government of) bonds Ser. 709, 7s, 2009 2,057,694 USD 200,000 Peru (Republic of) bonds 8 3/4s, 2033 179,500 USD 190,000 Philippines (Republic of) bonds 9 7/8s, 2019 195,700 USD 325,000 Philippines (Republic of) sr. notes 8 7/8s, 2015 323,375 USD 2,211,250 Russia (Federation of) 144A unsub. stepped-coupon 5s (7 1/2s, 3/31/07), 2030 (STP) 2,028,822 USD 520,000 Russia (Ministry of Finance) deb. Ser. V, 3s, 2008 457,600 USD 1,030,000 South Africa (Republic of) notes 7 3/8s, 2012 1,125,790 USD 285,000 South Africa (Republic of) notes 6 1/2s, 2014 292,838 USD 16,800,000 Sweden (Government of) bonds Ser. 1041 6 3/4s, 2014 2,562,077 SEK 14,640,000 Sweden (Government of) bonds Ser. 3101, 4s, 2008 2,359,090 USD 370,000 Turkey (Republic of) notes 9s, 2011 387,575 USD 184,803 Ukraine (Government of) sr. notes Ser. REGS, 11s, 2007 198,848 USD 400,000 Ukraine (Government of) 144A bonds 7.65s, 2013 384,000 USD 575,000 Ukraine (Government of) 144A unsub. notes 6 7/8s, 2011 546,969 GBP 425,000 United Kingdom treasury bonds 8 3/4s, 2017 1,041,260 GBP 1,900,000 United Kingdom treasury bonds 7 1/4s, 2007 3,682,582 GBP 2,090,000 United Kingdom treasury bonds 5s, 2012 3,771,538 GBP 1,745,000 United Kingdom treasury bonds 7 1/2s, 2006 3,344,088 USD 725,000 United Mexican States bonds Ser. MTN, 8.3s, 2031 783,000 USD 215,000 Venezuela (Republic of) bonds 9 3/8s, 2034 189,200 USD 255,000 Venezuela (Republic of) notes 10 3/4s, 2013 264,690 USD 415,000 Venezuela (Republic of) unsub. bonds 5 3/8s, 2010 343,413 ------------- Total Foreign government bonds and notes (cost $51,394,402) $54,772,024 Asset-backed securities (6.5%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- $148,531 ABSC NIMS Trust 144A Ser. 03-HE5, Class A, 7s, 2033 $149,273 Aegis Asset Backed Securities Trust 144A 74,101 Ser. 04-1N, Class NOTE, 5s, 2034 74,020 160,959 Ser. 04-2N, Class N1, 4 1/2s, 2034 160,355 3,503,636 Amortizing Residential Collateral Trust Ser. 02-BC1, Class A, (Interest Only) IO, 6s, 2005 66,555 AQ Finance NIM Trust 144A 59,354 Ser. 03-N2, Class NOTE, 9.3s, 2033 59,725 47,141 Ser. 03-N9A, Class NOTE, 7.385s, 2033 47,436 8,036 Arc Net Interest Margin Trust 144A Ser. 02-8A, Class A1, 7 3/4s, 2032 7,970 Arcap REIT, Inc. 144A 208,000 Ser. 03-1A, Class E, 7.11s, 2038 215,995 116,000 Ser. 04-1A, Class E, 6.42s, 2039 115,148 Argent NIM Trust 144A 96,753 Ser. 03-N6, Class A, 6.4s, 2034 96,753 48,720 Ser. 04-WN2, Class A, 4.55s, 2034 48,538 84,000 Asset Backed Funding Corp. NIM Trust 144A Ser. 04-0PT1, Class N2, 6.9s, 2033 84,000 173,632 Aviation Capital Group Trust 144A FRB Ser. 03-2A, Class G1, 2.12s, 2033 174,283 260,000 Bank One Issuance Trust FRB Ser. 03-C4, Class C4, 2.41s, 2011 264,399 Bayview Financial Acquisition Trust 269,996 Ser. 02-CA, Class A, IO, 5.10s, 2004 3,164 12,011,224 Ser. 03-X, Class A, IO, .89s, 2006 202,689 265,000 Bear Stearns Asset Backed Securities NIM Trust 144A Ser. 04-HE6, Class A1, 5 1/4s, 2034 (Cayman Islands) 265,000 CARSSX Finance, Ltd. 144A 100,000 FRB Ser. 04-AA, Class B3, 4.73s, 2011 (Cayman Islands) 100,000 100,000 FRB Ser. 04-AA, Class B4, 6.88s, 2011 (Cayman Islands) 100,000 370,000 Chase Credit Card Master Trust FRB Ser. 03-3, Class C, 2.46s, 2010 377,530 Chase Funding Net Interest Margin 144A 22,820 Ser. 03-2A, Class NOTE, 8 3/4s, 2035 22,820 125,814 Ser. 03-4A, Class NOTE, 6 3/4s, 2036 125,814 Conseco Finance Securitizations Corp. 203,000 Ser. 00-2, Class A4, 8.48s, 2021 207,797 1,673,000 Ser. 00-4, Class A6, 8.31s, 2032 1,431,165 600,000 Ser. 00-6, Class M2, 8.2s, 2032 81,000 12,000 Ser. 01-04, Class A4, 7.36s, 2033 11,727 220,000 Ser. 01-1, Class A5, 6.99s, 2032 200,369 9,000 Ser. 01-3, Class A3, 5.79s, 2033 8,878 610,000 Ser. 01-3, Class A4, 6.91s, 2033 563,264 200,000 Ser. 01-3, Class M2, 7.44s, 2033 38,000 561,000 Ser. 01-4, Class B1, 9.4s, 2010 84,150 1,298,260 Ser. 02-1, Class A, 6.681s, 2033 1,331,637 159,000 FRB Ser. 01-4, Class M1, 3.11s, 2033 65,588 394,000 Consumer Credit Reference IDX Securities FRB Ser. 02-1A, Class A, 3.55s, 2007 399,004 160,602 Countrywide Asset Backed Certificates 144A Ser. 04-BC1N, Class NOTE, 5 1/2s, 2035 160,100 235,000 Crest, Ltd. 144A Ser. 03-2A, Class E2, 8s, 2038 215,172 144,730 First Franklin NIM Trust 144A Ser. 03-FF3A, Class A, 6 3/4s, 2033 144,168 Fremont NIM Trust 144A 52,361 Ser. 03-B, Class NOTE, 5.65s, 2033 52,230 267,360 Ser. 04-A, Class NOTE, 4 3/4s, 2034 266,558 Granite Mortgages PLC GBP 585,000 Ser. 03-2, Class 3C, 6.38s, 2043 (United Kingdom) 1,093,750 EUR 780,000 FRB Ser. 03-2, Class 2C1, 4 5/8s, 2043 (United Kingdom) 951,250 $190,000 FRB Ser. 02-1, Class 1C, 2.93s, 2042 (United Kingdom) 193,236 Green Tree Financial Corp. 96,808 Ser. 95-F, Class B2, 7.1s, 2021 87,066 63,355 Ser. 99-3, Class A5, 6.16s, 2031 64,147 678,000 Ser. 99-5, Class A5, 7.86s, 2030 594,053 1,020,927 Greenpoint Manufactured Housing Ser. 00-3, Class IA, 8.45s, 2031 927,247 635,000 GS Auto Loan Trust 144A Ser. 04-1, Class D, 5s, 2011 624,556 GSAMP Trust 144A 62,586 Ser. 03-HE1N, Class NOTE, 7 1/4s, 2033 62,436 207,527 Ser. 04, Class NOTE, 5 1/2s, 2032 207,216 156,239 Ser. 04-FM1N, Class NOTE, 5 1/4s, 2033 156,076 110,000 Ser. 04-HE1N, Class N1, 5s, 2034 109,868 Holmes Financing PLC FRB 110,000 Ser. 4, Class 3C, 2.44s, 2040 (United Kingdom) 111,575 190,000 Ser. 5, Class 2C, 2.59s, 2040 (United Kingdom) 191,366 127,000 Ser. 8, Class 2C, 2.32s, 2040 (United Kingdom) 127,040 Home Equity Asset Trust 144A 121,828 Ser. 02-5N, Class A, 8s, 2033 122,742 52,627 Ser. 03-4N, Class A, 8s, 2033 53,021 130,411 Ser. 03-7N, Class A, 5 1/4s, 2034 130,411 75,373 Ser. 04-1N, Class A, 5s, 2034 75,184 685,000 LNR CDO, Ltd. FRB Ser. 02-1A, Class FFL, 4.20s, 2037 (Cayman Islands) 657,874 415,000 LNR CDO, Ltd. 144A FRB Ser. 03-1A, Class EFL, 4.433s, 2036 (Cayman Islands) 437,037 Long Beach Asset Holdings Corp. 144A 168,235 Ser. 04-2, Class N1, 4.94s, 2034 168,235 78,534 Ser. 03-2, Class N1, 7.627s, 2033 78,534 54,798 Long Beach Asset Holdings Corp. NIM Trust 144A Ser. 03-4, Class N1, 6.535s, 2033 54,867 1,070,000 Long Beach Mortgage Loan Trust Ser. 04-3, Class S1, IO, 4.5s, 2006 75,275 GBP 500,000 Lothian Mortgages PLC 144A Ser. 3A, Class D, 5.458s, 2039 (United Kingdom) 909,100 $568,528 Madison Avenue Manufactured Housing Contract FRB Ser. 02-A, Class B1, 4.7s, 2032 312,690 370,000 MBNA Credit Card Master Note Trust FRN Ser. 03-C5, Class C5, 2.56s, 2010 377,516 75,836 Merrill Lynch Mortgage Investors, Inc. Ser. 03-WM3N, Class N1, 8s, 2005 76,500 98,630 Mid-State Trust Ser. 11, Class B, 8.221s, 2038 97,751 27,994 Morgan Stanley ABS Capital I 144A Ser. 03-NC9N, Class NOTE, 7.6s, 2033 28,117 Morgan Stanley Dean Witter Capital I 210,000 FRN Ser. 01-NC3, Class B1, 3.9s, 2031 207,741 195,000 FRN Ser. 01-NC4, Class B1, 3.95s, 2032 191,984 76,582 New Century Mortgage Corp. NIM Trust 144A Ser. 03-B, Class NOTE, 6 1/2s, 2033 77,037 Oakwood Mortgage Investors, Inc. 807,699 Ser. 01-C, Class A2, 5.92s, 2017 519,270 1,106,220 Ser. 02-C, Class A1, 5.41s, 2032 976,240 419,818 Ser. 99-B, Class A4, 6.99s, 2026 377,102 Option One Mortgage Securities Corp. NIM Trust 144A 44,696 Ser. 03-5, Class NOTE, 6.9s, 2033 44,919 27,788 Ser. 03-2B, Class N1, 7.63s, 2033 (Cayman Islands) 27,788 226,376 Pass-Through Amortizing Credit Card Trust Ser. 02-1A, Class A4FL, 6.91s, 2012 227,016 Permanent Financing PLC FRB 150,000 Ser. 1, Class 3C, 2.61s, 2042 (United Kingdom) 151,664 190,000 Ser. 3, Class 3C, 2.56s, 2042 (United Kingdom) 193,266 1,568,852 Residential Asset Mortgage Products, Inc. Ser. 03-RZ1, Class A, IO, 5 3/4s, 2005 63,244 166,965 Rural Housing Trust Ser. 87-1, Class D, 6.33s, 2026 172,757 39,521 SAIL Net Interest Margin Notes Ser. 03-4, Class A, 7 1/2s, 2033 (Cayman Islands) 39,477 SAIL Net Interest Margin Notes 144A 231,136 Ser. 03-10A, Class A, 7 1/2s, 2033 (Cayman Islands) 231,123 96,237 Ser. 03-12A, Class A, 7.35s, 2033 (Cayman Islands) 96,208 58,605 Ser. 03-6A, Class A, 7s, 2033 (Cayman Islands) 58,170 123,634 Ser. 03-7A, Class A, 7s, 2033 (Cayman Islands) 122,717 33,892 Ser. 03-8A, Class A, 7s, 2033 (Cayman Islands) 33,721 86,687 Ser. 03-9A, Class A, 7s, 2033 (Cayman Islands) 86,236 162,584 Ser. 03-BC2A, Class A, 7 3/4s, 2033 162,111 228,081 Ser. 04-2A, Class A, 5 1/2s, 2034 (Cayman Islands) 228,081 406,363 Ser. 04-4A, Class A, 5s, 2034 (Cayman Islands) 405,754 16,731 Sasco Arc Net Interest Margin Notes Ser. 02-BC10, Class A, 7 3/4s, 2033 16,579 Sasco Arc Net Interest Margin Notes 144A 95,371 Ser. 03-3, Class A, 7 3/4s, 2033 94,892 197,774 Ser. 03-5, Class A, 7.35s, 2033 (Cayman Islands) 197,716 143,409 Ser. 03-AM1, Class A, 7 3/4s, 2033 142,710 148,926 Sasco Arc Net Interest Margin Trust 144A Ser. 03-BC1, Class B, zero %, 2033 106,645 88,463 Saxon Net Interest Margin Trust 144A Ser. 03-A, Class A, 6.656s, 2033 88,463 113,221 Sharp SP I, LLC Net Interest Margin Trust Ser. 03-NC1N, Class N, 7 1/4s, 2033 113,855 Sharp SP I, LLC Net Interest Margin Trust 144A 83,855 Ser. 03-0P1N, Class NA, 4.45s, 2033 83,846 62,236 Ser. 03-HS1N, Class N, 7.48s, 2033 62,391 29,594 Ser. 03-TC1N, Class N, 7.45s, 2033 29,594 46,751 Ser. 04-FM1N, Class N, 6.16s, 2033 46,985 35,604 Ser. 04-HS1N, Class NOTE, 5.92s, 2034 35,604 Structured Asset Investment Loan Trust 151,534 Ser. 03-BC1A, Class A, 7 3/4s, 2033 150,798 3,863,371 Ser. 03-BC2, Class A, IO, 6s, 2005 100,646 1,310,001 Ser. 03-BC8, Class A, IO, 6s, 2005 51,871 7,873,000 Ser. 04-1, Class A, IO, 5 1/2s, 2005 420,006 212,000 TIAA Commercial Real Estate Securitization Ser. 02-1A, Class IV, 6.84s, 2037 164,671 254,000 TIAA Commercial Real Estate Securitization 144A Ser. 03-1A, Class E, 8s, 2038 227,876 1,594,413 Washington Mutual Ser. 03-S1, Class A11, IO, 5.5s, 2033 118,086 459,762 Whole Auto Loan Trust 144A Ser. 03-1, Class D, 6s, 2010 460,049 ------------- Total Asset-backed securities (cost $26,457,465) $24,584,919 Collateralized mortgage obligations (5.4%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- $190,000 Bear Stearns Commercial Mortgage Securitization Corp. 144A Ser. 04-ESA, Class K, 3.88s, 2016 $190,000 2,511,942 Commercial Mortgage Acceptance Corp. Ser. 97-ML1, IO, .84s, 2017 56,126 154,000 Commercial Mortgage Pass-Through Certificates 144A FRB Ser. 01-FL4A, Class E, 2.68s, 2013 137,060 757,000 Criimi Mae Commercial Mortgage Trust Ser. 98-C1, Class A2, 7s, 2011 807,624 1,143,000 Criimi Mae Commercial Mortgage Trust 144A Ser. 98-C1, Class B, 7s, 2033 1,185,195 192,000 CS First Boston Mortgage Securities Corp. 144A FRB Ser. 03-TF2A, Class L, 5.38s, 2014 190,648 21,772,852 Deutsche Mortgage & Asset Receiving Corp. Ser. 98-C1, Class X, IO, 1.104s, 2023 590,896 DLJ Commercial Mortgage Corp. 152,919 Ser. 98-CF2, Class B4, 6.04s, 2031 124,701 489,824 Ser. 98-CF2, Class B5, 5.95s, 2031 300,496 Fannie Mae 319,182 Ser. 02-36, Class SJ, 16 1/2s, 2029 349,785 1,175,854 Ser. 329, Class 2, IO, 5.5s, 2033 294,332 274,214 Ser. 03-W3, Class 1A3, 7 1/2s, 2042 295,736 5,928 Ser. 03-W2, Class 1A3, 7 1/2s, 2042 6,394 642 Ser. 02-W1, Class 2A, 7 1/2s, 2042 692 2,547 Ser. 02-14, Class A2, 7 1/2s, 2042 2,747 332,279 Ser. 01-T10, Class A2, 7 1/2s, 2041 358,358 1,485 Ser. 02-T4, Class A3, 7 1/2s, 2041 1,602 3,951 Ser. 01-T8, Class A1, 7 1/2s, 2041 4,261 1,288,604 Ser. 01-T7, Class A1, 7 1/2s, 2041 1,389,744 194,524 Ser. 01-T3, Class A1, 7 1/2s, 2040 209,792 580,146 Ser. 01-T1, Class A1, 7 1/2s, 2040 625,680 237,126 Ser. 99-T2, Class A1, 7 1/2s, 2039 255,737 122,329 Ser. 00-T6, Class A1, 7 1/2s, 2030 131,930 574,294 Ser. 01-T4, Class A1, 7 1/2s, 2028 619,369 1,268 Ser. 02-W3, Class A5, 7 1/2s, 2028 1,368 2,646,290 Ser. 338, Class 2, IO, 5.5s, 2033 689,689 1,043,600 Ser. 03-24, Class IC, IO, 5s, 2015 202,651 1,719,384 Ser. 03-34, Class SG, IO, 5.55s, 2033 153,939 193,521 Ser. 01-74, Class MI, IO, 6s, 2015 14,509 1,982,389 Ser. 03-49, Class TS, IO, 6 1/4s, 2018 237,577 674,463 Ser. 03-26, Class IG, IO, 6s, 2033 126,567 691,567 Ser. 02-36, Class QH, IO, 6.6s, 2029 43,359 9,035,318 Ser. 02-T18, IO, .519s, 2042 130,632 661,900 Ser. 345, Class 1, IO, 5s, 2033 181,609 2,941,436 Ser. 345, Class 3, IO, 5s, 2033 794,188 5,137,720 Ser. 03-34, Class SP, IO, 5.65s, 2032 440,720 243,000 Ser. 03-6, Class IB, IO, 5.5s, 2022 15,943 487 Ser. 92-15, Class L, IO, 10.38s, 2022 5,982 1,729,095 Ser. 03-41, Class SP, IO, 5.75s, 2015 115,363 587,100 Ser. 318, Class 2, IO, 6s, 2032 136,340 812,787 Ser. 03-118, Class SF, IO, 6.65s, 2033 119,005 3,107,095 Ser. 03-W17, Class 12, IO, 1.162s, 2033 103,267 751,067 Ser. 03-118, Class S, IO, 6.65s, 2033 108,905 1,223,390 Ser. 03-45, Class PI, IO, 5.5s, 2029 144,195 1,624,259 Ser. 03-37, Class IC, IO, 5.5s, 2027 175,116 78,894 Ser. 98-51, Class SG, IO, 23.72s, 2022 35,395 472,700 Ser. 322, Class 2, IO, 6s, 2032 109,460 5,786,368 Ser. 03-W10, Class 3A, IO, 1.913s, 2043 191,673 5,209,140 Ser. 00-T6, IO, 0.985s, 2030 93,602 4,866,218 Ser. 03-W10, Class 1A, IO, 1.92s, 2043 156,631 65,946 Ser. 03-7, Class SM, IO, 6.3s, 2023 381 2,512,059 Ser. 03-23, Class AI, IO, 5s, 2017 317,488 153,600 Ser. 03-23, Class SC, IO, 6.1s, 2033 2,304 598,747 Ser. 03-58, Class ID, IO, 6s, 2033 137,244 788,921 Ser. 03-14, Class KS, IO, 6.15s, 2017 58,799 4,215,647 Ser. 03-34, Class ES, IO, 5.5s, 2033 375,456 99,086 Ser. 99-51, Class N, (Principal Only) PO, zero %, 2029 83,031 52,515 Ser. 99-52, Class MO, PO, zero %, 2026 50,574 Federal Home Loan Mortgage Corp. Structured Pass-Through Securities 7,896 Ser. T-58, Class 4A, 7 1/2s, 2043 8,515 2,897,137 Ser. T-57, Class 1AX, IO, .439s, 2043 31,461 7,751,708 FFCA Secured Lending Corp. Ser. 00-1, Class X, IO, 1.603s, 2020 495,347 229,896 First Chicago Lennar Trust 144A Ser. 97-CHL1, Class E, 7.922s, 2039 214,737 Freddie Mac 295,010 Ser. 2763, Class SC, 23.08s, 2032 351,787 1,175,704 Ser. 2448, Class SM, IO, 6.4s, 2032 123,449 1,293,175 Ser. 2579, Class GS, IO, 6.05s, 2017 120,146 404,800 Ser. 2590, Class IH, IO, 5 1/2s, 2028 104,236 1,863,555 Ser. 216, Class IO, IO, 6s, 2032 423,449 1,048,000 Ser. 2596, Class IQ, IO, 5.5s, 2026 110,921 786,800 Ser. 2515, Class IG, IO, 1.1s, 2032 259,570 138,186 Ser. 2478, Class SY, IO, 6.55s, 2021 7,758 220,500 Ser. 215, Class PO, PO, zero %, 2031 197,089 201,747 Ser. 2235, PO, zero %, 2030 162,690 2 Ser. 2078, Class KC, PO, zero %, 2023 2 282,877 GMAC Commercial Mortgage Securities, Inc. 144A Ser. 99-C3, Class G, 6.974s, 2036 208,150 Government National Mortgage Association 95,741 Ser. 02-51, Class SA, IO, 6.68s, 2032 1,120 2,478,715 Ser. 03-83, Class SI, IO, 4.9s, 2032 170,412 900,710 Ser. 02-47, Class SM, IO, 4.55s, 2032 46,021 1,175,803 Ser. 01-19, Class S, IO, 5.9s, 2031 110,231 373,154 Ser. 01-43, Class SJ, IO, 6.18s, 2029 9,271 100,466 Ser. 98-2, Class EA, PO, zero %, 2028 83,198 117,000 GS Mortgage Securities Corp. II 144A FRB Ser. 03-FL6A, Class L, 4.63s, 2015 117,146 GBP 713,631 Hermione (European Loan Conduit No. 14) 144A FRB Class A, 5.33s, 2011 (Ireland) 1,305,310 $136,232 LB Commercial Conduit Mortgage Trust 144A Ser. 99-C1, Class G, 6.41s, 2031 104,732 Mach One Commercial Mortgage Trust 144A 226,000 Ser. 04-1A, Class J, 5.45s, 2040 181,215 114,000 Ser. 04-1A, Class K, 5.45s, 2040 92,104 52,000 Ser. 04-1A, Class L, 5.45s, 2040 36,841 3,743,778 Merrill Lynch Mortgage Investors, Inc. Ser. 96-C2, Class JS, IO, 3.459s, 2028 216,286 930,000 Morgan Stanley Capital I 144A Ser. 04-RR, Class F7, 6s, 2039 659,040 3,037,952 Mortgage Capital Funding, Inc. Ser. 97-MC2, Class X, IO, 1.282s, 2012 89,914 Starwood Asset Receivables Trust 144A 95,279 FRB Ser. 03-1A, Class F, 2.55s, 2022 95,431 122,502 FRB Ser. 03-1A, Class E, 2 1/2s, 2022 122,698 STRIPS 144A 87,000 Ser. 03-1A, Class M, 5s, 2018 (Cayman Islands) 71,375 104,000 Ser. 03-1A, Class N, 5s, 2018 76,742 100,000 Ser. 04-1A, Class M, 5s, 2018 82,360 90,000 Ser. 04-1A, Class N, 5s, 2018 66,870 100,000 Trizechahn Office Properties Trust 144A Ser. 01-TZHA, Class D3, 6.943s, 2013 106,187 ------------- Total Collateralized mortgage obligations (cost $21,579,206) $20,345,678 Common stocks (0.7%) (a) ----------------------------------------------------------------------------------------------------------- Number of shares Value ----------------------------------------------------------------------------------------------------------- 1,083 AboveNet, Inc. (NON) $33,562 1,153 Alderwoods Group, Inc. (NON) 10,244 350,000 AMRESCO Creditor Trust (acquired 6/17/99, cost $62,787) (RES)(NON)(R) 350 8 Arch Wireless, Inc. Class A (NON) 226 958 Archibald Candy Corp. (NON) 48 605 Birch Telecom, Inc. (NON) 6 244 Comdisco Holding Co., Inc. 5,868 1,883,299 Contifinancial Corp. Liquidating Trust Units 37,666 8,378 Covad Communications Group, Inc. (NON) 15,918 932 Crown Castle International Corp. (NON) 13,160 614 Genesis HealthCare Corp. (NON) 16,486 25,179 Globix Corp. (NON) 80,573 8,406 iPCS, Inc. (NON) 181,418 295,000 iPCS Escrow, Inc. (NON) 295 99 Knology, Inc. (NON) 432 58 Leucadia National Corp. 2,986 3,473 Lodgian, Inc. (NON) 34,035 60,000 Loewen Group International, Inc. (NON) 6 431 Polymer Group, Inc. Class A (NON) 5,689 1,004 PSF Group Holdings, Inc. 144A Class A (acquired various dates from 2/8/93 to 3/16/98, cost $3,443,871) (NON) 1,505,790 28,727 Regal Entertainment Group (acquired 5/9/02, cost $228,945) (RES) 540,929 129 Sterling Chemicals, Inc. (NON) 3,096 467 Sun Healthcare Group, Inc. (NON) 3,227 503,131 VFB LLC (acquired various dates from 10/27/00 to 12/8/03, cost $355,888) (RES)(NON) 95,595 2,398 Washington Group International, Inc. (NON) 80,141 ------------- Total Common stocks (cost $7,439,677) $2,667,746 Preferred stocks (0.5%) (a) ----------------------------------------------------------------------------------------------------------- Number of shares Value ----------------------------------------------------------------------------------------------------------- 16,152 Avecia Group PLC $4.00 pfd. (United Kingdom) (PIK) $209,976 5,858 Doane Pet Care Co. $7.125 pfd. 246,036 14 Dobson Communications Corp. 13.00% pfd. (PIK) 9,114 210 First Republic Capital Corp. 144A 10.50% pfd. 217,350 6,895 iStar Financial, Inc. $1.95 cum. pfd. 172,375 50 Paxson Communications Corp. 13.25% cum. pfd. (PIK) 436,250 106 Rural Cellular Corp. Ser. B, 11.375% cum. pfd. 89,040 738 Rural Cellular Corp. 12.25% pfd. (PIK) 464,940 ------------- Total Preferred stocks (cost $2,089,902) $1,845,081 Brady bonds (0.4%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- $367,060 Brazil (Federal Republic of) FRB 2 1/8s, 2012 $318,902 588,238 Brazil (Federal Republic of) govt. guaranty FRB Ser. RG, 2 1/8s, 2012 511,061 375,000 Peru (Republic of) coll. FLIRB Ser. 20YR, 4 1/2s, 2017 310,313 336,700 Peru (Republic of) FRB Ser. PDI, 5s, 2017 292,929 ------------- Total Brady bonds (cost $1,186,663) $1,433,205 Convertible preferred stocks (0.2%) (a) ----------------------------------------------------------------------------------------------------------- Number of shares Value ----------------------------------------------------------------------------------------------------------- 4,915 Crown Castle International Corp. $3.125 cv. pfd. $223,018 2,910 Omnicare, Inc. $2.00 cv. pfd. 139,680 35 Paxson Communications Corp. 144A 9.75% cv. pfd. (PIK) 248,500 3,690 Williams Cos., Inc. (The) 144A $2.75 cv. pfd. 263,835 ------------- Total Convertible preferred stocks (cost $750,917) $875,033 Convertible bonds and notes (0.1%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- $60,000 AES Corp. (The) cv. sub. notes 4 1/2s, 2005 $59,400 280,000 Amkor Technologies, Inc. cv. notes 5 3/4s, 2006 256,550 1,210,000 Cybernet Internet Services International, Inc. 144A cv. sr. disc. notes stepped-coupon zero % (13s, 8/15/04) 2009 (Denmark) (In default) (NON)(STP) 12 145,000 WCI Communities, Inc. cv. sr. sub. notes 4s, 2023 156,056 ------------- Total Convertible bonds and notes (cost $1,493,551) $472,018 Units (--%)(a) ----------------------------------------------------------------------------------------------------------- Number of units Value ----------------------------------------------------------------------------------------------------------- 470,000 Morrison Knudsen Corp., 2032 $24,675 376 XCL Equity Units 167,075 ------------- Total Units (cost $1,198,601) $191,750 Warrants (--%) (a) (NON) ----------------------------------------------------------------------------------------------------------- Number of warrants Value ----------------------------------------------------------------------------------------------------------- 391 AboveNet, Inc. $1,955 460 AboveNet, Inc. 460 560 Dayton Superior Corp. 144A 1 2 Doe Run Resources Corp. 144A 1 641 Huntsman Co., LLC 144A 121,790 266 MDP Acquisitions PLC 144A (Ireland) 7,382 210 Mikohn Gaming Corp. 144A 63 220 ONO Finance PLC 144A (United Kingdom) 2 230 Pliant Corp. 144A 2 261 Solutia, Inc. 144A 3 570 Travel Centers of America, Inc. 144A 2,850 900 Ubiquitel, Inc. 144A 1 1,479 Washington Group International, Inc. Ser. A 10,723 1,691 Washington Group International, Inc. Ser. B 9,639 914 Washington Group International, Inc. Ser. C 4,296 320 XM Satellite Radio Holdings, Inc. 144A 17,120 ------------- Total Warrants (cost $394,274) $176,288 U.S. Government and Agency Mortgage Obligations (10.9%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- $20,515 Federal Home Loan Mortgage Corporation 7 1/2s, May 1, 2027 $22,146 Federal National Mortgage Association Pass-Through Certificates 5,867 8s, July 1, 2024 6,347 85,337 7 1/2s, with due dates from January 1, 2030 to August 1, 2030 91,643 7,373,569 6 1/2s, with due dates from June 1, 2028 to May 1, 2033 7,723,646 18,000,000 6 1/2s, TBA, August 15, 2034 18,783,281 463,819 5s, June 1, 2019 467,914 12,400,000 5s, TBA, August 15, 2019 12,486,218 2,045,169 4 1/2s, with due dates from August 1, 2033 to June 1, 2034 1,933,570 ------------- Total U.S. Government and Agency Mortgage Obligations (cost $41,369,991) $41,514,765 U.S. Treasury Obligations (13.6%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- U.S. Treasury Bonds $5,440,000 7 1/2s, November 15, 2016 $6,782,150 12,789,000 6 1/4s, May 15, 2030 14,519,512 5,965,000 6 1/4s, August 15, 2023 6,691,053 7,289,000 4 1/4s, August 15, 2013 7,192,193 3,000 4s, November 15, 2012 2,936 U.S. Treasury Notes 8,046,000 3 1/4s, August 15, 2008 7,986,912 6,087,000 1 1/8s, June 30, 2005 6,038,494 7,990,000 U.S. Treasury Strip zero %, November 15, 2024 2,611,061 ------------- Total U.S. Treasury Obligations (cost $51,768,263) $51,824,311 Short-term investments (16.6%) (a) ----------------------------------------------------------------------------------------------------------- Principal amount Value ----------------------------------------------------------------------------------------------------------- $62,277,762 Putnam Prime Money Market Fund (e) $62,277,762 700,000 U.S. Treasury Bill zero %, August 5, 2004 (SEG) 699,914 ------------- Total Short-term investments (cost $62,977,676) $62,977,676 ----------------------------------------------------------------------------------------------------------- Total Investments (cost $424,509,780) (b) $420,836,459 ----------------------------------------------------------------------------------------------------------- Forward currency contracts to buy at July 31, 2004 (Unaudited) (aggregate face value $24,562,436) Unrealized Aggregate Delivery appreciation/ Value face value date (depreciation) ---------------------------------------------------------------------------------------------- Australian Dollar $4,062,396 $4,087,007 Sep-04 $(24,612) British Pound 4,919,250 4,932,060 Sep-04 (12,810) Danish Krone 629,301 638,401 Sep-04 (9,100) Euro 3,162,686 3,211,678 Sep-04 (48,992) Japanese Yen 11,066,285 11,018,505 Sep-04 47,780 Norwegian Krone 178,642 187,371 Sep-04 (8,729) Polish Zloty 242,138 231,004 Sep-04 11,134 Swedish Krona 250,563 256,410 Sep-04 (5,847) ---------------------------------------------------------------------------------------------- $(51,176) ---------------------------------------------------------------------------------------------- Forward currency contracts to sell at July 31, 2004 (Unaudited) (aggregate face value $43,802,498) Unrealized Aggregate Delivery appreciation/ Value face value date (depreciation) ---------------------------------------------------------------------------------------------- Australian Dollars $2,071,304 $2,109,971 Sep-04 $38,667 British Pound 13,320,456 13,354,801 Sep-04 34,345 Canadian Dollars 447,825 437,011 Sep-04 (10,814) Euro 18,573,055 18,679,191 Sep-04 106,136 Japanese Yen 463,817 476,591 Sep-04 12,774 New Zealand Dollars 3,902,994 3,829,375 Sep-04 (73,619) Swedish Krona 4,772,665 4,915,558 Sep-04 142,893 ---------------------------------------------------------------------------------------------- $250,382 ---------------------------------------------------------------------------------------------- Futures contracts outstanding at July 31, 2004 (Unaudited) Unrealized Aggregate Expiration appreciation/ Value face value date (depreciation) ---------------------------------------------------------------------------------------------- Euro-Bobl 5 yr (Long) $7,214,874.00 $7,199,924.00 Sep-04 $14,950 Euro-Bund 10 yr (Long) 7,702,550 7,672,888 Sep-04 29,662 Interest Rate Swap 10 yr (Long) 860,750 832,456 Sep-04 28,294 Japanese Government Bond 10 yr (Long) 3,871,009 3,880,197 Sep-04 (9,188) Japanese Government Bond 10 yr-TSE (Long) 2,419,919 2,424,226 Sep-04 (4,307) U.K. Gilt (Long) 10,015,291 10,012,116 Sep-04 3,175 U.S. Treasury Bond (Long) 7,467,094 7,204,400 Sep-04 262,694 U.S. Treasury Note 10 yr (Long) 9,964,688 9,937,285 Sep-04 27,403 U.S. Treasury Note 5 yr (Short) 37,449,000 36,898,242 Sep-04 (550,758) ---------------------------------------------------------------------------------------------- $(198,075) ---------------------------------------------------------------------------------------------- Interest rate swap contracts outstanding at July 31, 2004 (Unaudited) Unrealized Notional Termination appreciation/ amount date (depreciation) ---------------------------------------------------------------------------------------------- Agreement with Bank of America, N.A. dated March 25, 2004 to pay semi-annually the notional amount multiplied by 3.075% and receive quarterly the notional amount multiplied by the three month USD-LIBOR. $9,000,000 3/30/09 $303,818 Agreement with Bank of America, N.A. dated January 22, 2004 to pay semi-annually the notional amount multiplied by 1.97375% and receive quarterly the notional amount multiplied by the three month USD-LIBOR. 4,500,000 1/26/06 50,186 Agreement with Bank of America, N.A. dated December 2, 2003 to pay semi-annually the notional amount multiplied by 2.444% and receive quarterly the notional amount multiplied by the three month USD LIBOR. 3,496,000 12/5/05 2,339 Agreement with Bank of America, N.A. dated January 22, 2004 to pay semi-annually the notional amount multiplied by 4.35% and receive quarterly the notional amount multiplied by the three month USD-LIBOR. 1,400,000 1/27/14 59,154 Agreement with Credit Suisse First Boston International dated July 7, 2004 to pay semi-annually the notional amount multiptied by 4.945% and receive quarterly the notional amount multiplied by the three month USD-LIBOR. 3,157,800 7/9/14 (6,353) Agreement with Credit Suisse First Boston International dated July 7, 2004 to receive semi-annually the notional amount multiptied by 2.931% and pay quarterly the notional amount multiplied by the three month USD-LIBOR. 2,798,800 7/9/06 (2,726) Agreement with Lehman Brothers Special Financing, Inc. dated December 9, 2003 to receive semi-annually the notional amount multiptied by 4.641% and pay quarterly the notional amount multiplied by three month USD-LIBOR-BBA. 5,068,000 12/15/13 (76,407) Agreement with Lehman Brothers Special Financing, Inc. dated January 22, 2004 to pay semi-annually the notional amount multiplied by 1.955% and receive quarterly the notional amount multiplied by the three month USD-LIBOR-BBA. 4,500,000 1/26/06 51,323 Agreement with Lehman Brothers Special Financing, Inc. dated January 22, 2004 to pay semi-annually the notional amount multiplied by 4.3375% and receive quarterly the notional amount multiplied by the three month USD-LIBOR-BBA. 1,400,000 1/26/14 61,144 Agreement with Merrill Lynch Capital Services, Inc. dated September 27, 2002 to receive semi-annually the notional amount multiplied by the six month JPY-LIBOR-BBA and pay semi-annually the notional amount multiplied by 0.399%. JPY 1,334,000,000 10/1/07 50,854 Agreement with Merrill Lynch Capital Services, Inc. dated November 17, 2000 to pay semi-annually the notional amount multiplied by the three month USD-LIBOR-BBA and receive the notional amount multiplied by 6.68%. $3,500,000 11/21/05 216,508 Agreement with UBS, AG dated April 23, 2004 to receive annually the notional amount multiplied by 3.49% and pay quarterly the notional amount multiplied by the three month SEK-STIBOR-SIDE. SEK 212,000,000 4/27/06 30,396 ---------------------------------------------------------------------------------------------- $740,236 ---------------------------------------------------------------------------------------------- NOTES (a) Percentages indicated are based on net assets of $380,022,510. (b) The aggregate identified cost on a tax basis is $426,052,047 resulting in gross unrealized appreciation and depreciation of $14,937,961 and $20,153,549, respectively, or net unrealized depreciation of $5,215,588. (DEF) Security is in default of principal and interest. (NON) Non-income-producing security. (STP) The interest or dividend rate and date shown parenthetically represent the new interest or dividend rate to be paid and the date the fund will begin accruing interest or dividend income at this rate. (RES) Restricted, excluding 144A securities, as to public resale. The total market value of restricted securities held at July 31, 2004 was $8,394,950 or 2.2% of net assets. (PIK) Income may be received in cash or additional securities at the discretion of the issuer. (SEG) This security was pledged and segregated with the custodian to cover margin requirements for futures contracts at July 31, 2004. (R) Real Estate Investment Trust. (e) The fund invests in the Putnam Prime Money Market Fund, an open-end management investment company managed by Putnam Investment Management, LLC ("Putnam Management"), the fund's manager, and indirect wholly-owned subsidiary of Putnam, LLC. Management fees paid by the fund are reduced by an amount equal to the management fees paid by Putnam Prime Money Market Fund with respect to assets invested by the fund in Putnam Prime Money Market Fund. Income distributions earned by the fund totaled $68,777 for the period ended July 31, 2004. 144A after the name of a security represents those exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. TBA after the name of a security represents to be announced securities. FLIRB represents Front Loaded Interest Reduction Bond. The rates shown on Floating Rate Bonds (FRB) and Floating Rate Notes (FRN) are the current interest rates at July 31, 2004. Security valuation Investments for which market quotations are readily available are valued at the last reported sales price on their principal exchange, or official closing price for certain markets. If no sales are reported-- as in the case of some securities traded over-the-counter-- a security is valued at its last reported bid price. Market quotations are not considered to be readily available for certain debt obligations; such investments are valued at fair value on the basis of valuations furnished by an independent pricing service or dealers, approved by the Trustees. Such services or dealers determine valuations for normal institutional-size trading units of such securities using methods based on market transactions for comparable securities and various relationships, generally recognized by institutional traders, between securities. Many securities markets and exchanges outside the U.S. close prior to the close of the New York Stock Exchange and therefore the closing prices for securities in such markets or on such exchanges may not fully reflect events that occur after such close but before the close of the New York Stock Exchange. Accordingly, on certain days, the fund will fair value foreign securities taking into account multiple factors, including movements in the U.S. securities markets. The number of days on which fair value prices will be used will depend on market activity and it is possible that fair value prices will be used by the fund to a significant extent. Securities quoted in foreign currencies are translated into U.S. dollars at the current exchange rate. Short-term investments having remaining maturities of 60 days or less are valued at amortized cost, which approximates fair value. Other investments, including restricted securities, are valued at fair value following procedures approved by the Trustees. Such valuations and procedures are reviewed periodically by the Trustees. Forward currency contracts The fund may buy and sell forward currency contracts, which are agreements between two parties to buy and sell currencies at a set price on a future date. These contracts are used to protect against a decline in value relative to the U.S. dollar of the currencies in which its portfolio securities are denominated or quoted (or an increase in the value of a currency in which securities a fund intends to buy are denominated, when a fund holds cash reserves and short term investments). The U.S. dollar value of forward currency contracts is determined using current forward currency exchange rates supplied by a quotation service. The market value of the contract will fluctuate with changes in currency exchange rates. The contract is marked to market daily and the change in market value is recorded as an unrealized gain or loss. When the contract is closed, the fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed. The fund could be exposed to risk if the value of the currency changes unfavorably, if the counterparties to the contracts are unable to meet the terms of their contracts or if the fund is unable to enter into a closing position. Risks may exceed amounts recognized on the statement of assets and liabilities. Forward currency contracts outstanding at period end, if any, are listed after the fund's portfolio. Futures and options contracts The fund may use futures and options contracts to hedge against changes in the values of securities the fund owns or expects to purchase. The fund may also write options on securities it owns or in which it may invest to increase its current returns. The potential risk to the fund is that the change in value of futures and options contracts may not correspond to the change in value of the hedged instruments. In addition, losses may arise from changes in the value of the underlying instruments, if there is an illiquid secondary market for the contracts, or if the counterparty to the contract is unable to perform. Risks may exceed amounts recognized on the statement of assets and liabilities. When the contract is closed, the fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed. Realized gains and losses on purchased options are included in realized gains and losses on investment securities. Futures contracts are valued at the quoted daily settlement prices established by the exchange on which they trade. The fund and the broker agree to exchange an amount of cash equal to the daily fluctuation in the value of the futures contract. Such receipts or payments are known as "variation margin." Exchange traded options are valued at the last sale price, or if no sales are reported, the last bid price for purchased options and the last ask price for written options. Options traded over-the-counter are valued using prices supplied by dealers. Futures and written option contracts outstanding at period end, if any, are listed after the fund's portfolio. Interest rate swap contracts The fund may enter into interest rate swap contracts, which are arrangements between two parties to exchange cash flows based on a notional principal amount, to manage the fund's exposure to interest rates. Interest rate swap contracts are marked to market daily based upon quotations from market makers and the change, if any, is recorded as unrealized gain or loss. Payments received or made are recorded as realized gains or loss. The fund could be exposed to credit or market risk due to unfavorable changes in the fluctuation of interest rates or if the counterparty defaults on its obligation to perform. Risks may exceed amounts recognized on the statement of assets and liabilities. Interest rate swap contracts outstanding at period end, if any, are listed after the fund's portfolio. TBA purchase commitments The fund may enter into "TBA" (to be announced) commitments to purchase securities for a fixed unit price at a future date beyond customary settlement time. Although the unit price has been established, the principal value has not been finalized. However, the amount of the commitments will not significantly differ from the principal amount. The fund holds, and maintains until settlement date, cash or high-grade debt obligations in an amount sufficient to meet the purchase price, or the fund may enter into offsetting contracts for the forward sale of other securities it owns. Income on the securities will not be earned until settlement date. TBA purchase commitments may be considered securities themselves, and involve a risk of loss if the value of the security to be purchased declines prior to the settlement date, which risk is in addition to the risk of decline in the value of the fund's other assets. Unsettled TBA purchase commitments are valued at fair value of the underlying securities, according to the procedures described under "Security valuation" above. The contract is "marked-to-market" daily and the change in market value is recorded by the fund as an unrealized gain or loss. Although the fund will generally enter into TBA purchase commitments with the intention of acquiring securities for its portfolio or for delivery pursuant to options contracts it has entered into, the fund may dispose of a commitment prior to settlement if Putnam Management deems it appropriate to do so. For additional information regarding the fund please see the fund's most recent annual or semi-annual shareholder report filed on the Securities and Exchange Commission's Web site, www.sec.gov., or visit Putnam Individual Investor Website at www.putnaminvestments.com. Item 2. Controls and Procedures: -------------------------------- (a) The registrant's principal executive officer and principal financial officer have concluded, based on their evaluation of the effectiveness of the design and operation of the registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the design and operation of such procedures are generally effective to provide reasonable assurance that information required to be disclosed by the registrant in this report is recorded, processed, summarized and reported within the time periods specified in the Commission's rules and forms. (b) Changes in internal control over financial reporting: Not applicable Item 3. Exhibits: ------------------ A separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2 under the Investment Company Act of 1940, as amended, are filed herewith. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. NAME OF REGISTRANT By (Signature and Title): /s/ Michael T. Healy -------------------------- Michael T. Healy Principal Accounting Officer Date: September 28, 2004 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated. By (Signature and Title): /s/ Charles E. Porter --------------------------- Charles E. Porter Principal Executive Officer Date: September 28, 2004 By (Signature and Title): /s/ Steven D. Krichmar --------------------------- Steven D. Krichmar Principal Financial Officer Date: September 28, 2004