FORM 11-K |
S | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
Page(s) | |
Financial Statements | |
Supplemental Schedule* | |
2013 | 2012 | |||||||
Assets | ||||||||
Investments | ||||||||
At fair value (Notes 2, 3, and 4) | ||||||||
Investment contracts | $ | 1,959,457,179 | $ | 2,002,616,020 | ||||
Registered investment companies | 6,184,832,345 | 5,576,511,926 | ||||||
Common collective trusts | 4,952,633,911 | 3,600,894,907 | ||||||
Raytheon Company common stock | 1,355,553,494 | 1,028,235,551 | ||||||
Total investments | 14,452,476,929 | 12,208,258,404 | ||||||
Receivables | ||||||||
Receivables for securities sold | 4,134,267 | 40,194,751 | ||||||
Notes receivable from participants | 238,572,568 | 239,591,741 | ||||||
Accrued investment income and other receivables | 23,231,610 | 28,685,589 | ||||||
Total receivables | 265,938,445 | 308,472,081 | ||||||
Total assets | 14,718,415,374 | 12,516,730,485 | ||||||
Liabilities | ||||||||
Due to Trustee | 49,268,562 | 28,435,894 | ||||||
Payable for securities purchased | 9,254,635 | 16,391,352 | ||||||
Accrued investment expenses and other payables | 7,415,976 | 4,471,457 | ||||||
Total liabilities | 65,939,173 | 49,298,703 | ||||||
Net Assets available for benefits at fair value | 14,652,476,201 | 12,467,431,782 | ||||||
Adjustment from fair value to contract value for interest in fully benefit-responsive investment contracts | (51,326,695 | ) | (95,727,243 | ) | ||||
Net assets available for benefits | $ | 14,601,149,506 | $ | 12,371,704,539 |
2013 | ||||
Additions to net assets attributable to: | ||||
Net appreciation of investments (Notes 2, 3 and 4) | $ | 2,269,396,428 | ||
Interest and dividends | 232,075,476 | |||
Interest income on notes receivable from participants (Note 2) | 8,158,485 | |||
Other revenue (Note 7) | 1,234,099 | |||
Contributions and deferrals | ||||
Employee deferrals | 618,517,000 | |||
Employer contributions | 284,255,343 | |||
902,772,343 | ||||
Total additions | 3,413,636,831 | |||
Deductions from net assets attributable to: | ||||
Distributions to participants | 1,380,469,499 | |||
Administrative expenses | 9,968,036 | |||
Total deductions | 1,390,437,535 | |||
Increase in net assets prior to plan mergers | 2,023,199,296 | |||
Transfers in from affiliate benefit plans (Note 1) | 206,245,671 | |||
Increase in net assets available for benefits | 2,229,444,967 | |||
Net assets, beginning of year | 12,371,704,539 | |||
Net assets, end of year | $ | 14,601,149,506 |
2013 | 2012 | |||||||
Northern Trust Collective S&P 500 Index Fund - DC - Non-Lending | $ | 2,198,159,980 | $ | 1,571,114,408 | ||||
Vanguard Institutional Total Stock Market Index Fund Institutional Plus Shares (a) | 1,897,894,064 | — | ||||||
Janus Balanced N Fund | 1,429,408,350 | 1,243,948,230 | ||||||
Raytheon Common Stock | 1,355,553,494 | 1,028,235,551 | ||||||
Northern Trust ACWI ex-US Fund - DC Non-Lending | 1,063,520,059 | 803,966,425 | ||||||
Fidelity Institutional Money Market Fund - Money Market Portfolio | 989,015,929 | 1,074,219,160 | ||||||
Nothern Trust Collective Russell 2000 Index Fund- DC Non-Lending (a) | 837,236,534 | 560,821,905 | ||||||
Pimco Total Return Institutional Fund (b) | 551,466,949 | 708,894,078 | ||||||
Hartford Capital Appreciation HLS IA (b) | — | 1,490,988,672 | ||||||
(a) Investment did not represent more than 5% of the Plan's net assets in 2012. | ||||||||
(b) Investment did not represent more than 5% of the Plan's net assets in 2013. |
Registered investment companies | $ | 783,076,652 | ||
Common collective trusts | 959,137,519 | |||
Raytheon Company common stock | 527,182,257 | |||
$ | 2,269,396,428 |
Level 1: | Quoted prices in active markets for identical assets or liabilities. |
Level 2: | Observable inputs, other than Level 1 prices, such as quoted prices for similar assets or liabilities; quoted prices in markets that are not active; or other inputs that are observable or that we corroborate with observable market data for substantially the full term of the related assets or liabilities. |
Level 3: | Unobservable inputs supported by little or no market activity that are significant to the fair value of the assets or liabilities. |
Fair Value of Investment Assets as of 12/31/2013 | |||||||||||||||
Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Investment contracts | |||||||||||||||
Fixed income | |||||||||||||||
US government and agencies | $ | 729,115,482 | $ | 95,346,729 | $ | — | $ | 824,462,211 | |||||||
Corporate debt | — | 547,963,241 | — | 547,963,241 | |||||||||||
Mortgage backed securities | — | 370,769,849 | — | 370,769,849 | |||||||||||
Asset backed securities | — | 137,241,404 | — | 137,241,404 | |||||||||||
Common collective trust | — | 69,570,782 | — | 69,570,782 | |||||||||||
Other fixed income investments | — | 9,147,279 | — | 9,147,279 | |||||||||||
Futures contracts | 128,810 | — | — | 128,810 | |||||||||||
Wrapper | — | — | 173,603 | 173,603 | |||||||||||
Total investment contracts | 729,244,292 | 1,230,039,284 | 173,603 | 1,959,457,179 | |||||||||||
Registered investment companies | |||||||||||||||
Target date mutual funds | 7,632,081 | — | — | 7,632,081 | |||||||||||
Fixed income based mutual funds | 708,939,689 | — | — | 708,939,689 | |||||||||||
Equity based mutual funds | 4,380,445,288 | — | — | 4,380,445,288 | |||||||||||
Money market funds | 1,087,815,287 | — | — | 1,087,815,287 | |||||||||||
Total registered investment companies | 6,184,832,345 | — | — | 6,184,832,345 | |||||||||||
Common collective trusts | |||||||||||||||
Fixed income based funds | — | 555,089,875 | — | 555,089,875 | |||||||||||
Equity based funds | — | 4,397,544,036 | — | 4,397,544,036 | |||||||||||
Total common collective trusts | — | 4,952,633,911 | — | 4,952,633,911 | |||||||||||
Raytheon Company common stock | 1,355,553,494 | — | — | 1,355,553,494 | |||||||||||
Total Investments | $ | 8,269,630,131 | $ | 6,182,673,195 | $ | 173,603 | $ | 14,452,476,929 |
Fair Value of Investment Assets as of 12/31/2012 | |||||||||||||||
Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Investment contracts | |||||||||||||||
Fixed income | |||||||||||||||
US government and agencies | $ | 709,431,956 | $ | 132,916,172 | $ | — | $ | 842,348,128 | |||||||
Corporate debt | — | 578,160,803 | — | 578,160,803 | |||||||||||
Mortgage backed securities | — | 434,444,095 | — | 434,444,095 | |||||||||||
Asset backed securities | — | 107,116,914 | — | 107,116,914 | |||||||||||
Common collective trust | — | 19,417,182 | — | 19,417,182 | |||||||||||
Other fixed income investments | — | 19,149,783 | — | 19,149,783 | |||||||||||
Futures contracts | 49,766 | — | — | 49,766 | |||||||||||
Wrapper | — | — | 1,929,349 | 1,929,349 | |||||||||||
Total investment contracts | 709,481,722 | 1,291,204,949 | 1,929,349 | 2,002,616,020 | |||||||||||
Registered investment companies | |||||||||||||||
Target date mutual funds | 7,882,815 | — | — | 7,882,815 | |||||||||||
Fixed income based mutual funds | 914,564,403 | — | — | 914,564,403 | |||||||||||
Equity based mutual funds | 3,460,961,609 | — | — | 3,460,961,609 | |||||||||||
Money market funds | 1,193,103,099 | — | — | 1,193,103,099 | |||||||||||
Total registered investment companies | 5,576,511,926 | — | — | 5,576,511,926 | |||||||||||
Common collective trusts | |||||||||||||||
Fixed income based funds | — | 493,715,515 | — | 493,715,515 | |||||||||||
Equity based funds | — | 3,107,179,392 | — | 3,107,179,392 | |||||||||||
Total common collective trusts | — | 3,600,894,907 | — | 3,600,894,907 | |||||||||||
Raytheon Company common stock | 1,028,235,551 | — | — | 1,028,235,551 | |||||||||||
Total Investments | $ | 7,314,229,199 | $ | 4,892,099,856 | $ | 1,929,349 | $ | 12,208,258,404 |
Level 3 Investment Assets - 12/31/2013 | ||||||||||||||||||||||||||
Balance, beginning of year | Realized gains (losses) | Unrealized appreciation (depreciation) | Purchases | Sales | Transfers in (out) of level 3 | Balance, end of year | ||||||||||||||||||||
Investment contracts | ||||||||||||||||||||||||||
Wrapper | $ | 1,929,349 | $ | — | $ | (1,755,746 | ) | $ | — | $ | — | $ | — | $ | 173,603 | |||||||||||
Total | $ | 1,929,349 | $ | — | $ | (1,755,746 | ) | $ | — | $ | — | $ | — | $ | 173,603 |
Level 3 Investment Assets - 12/31/2012 | |||||||||||||||||||||||||||
Balance, beginning of year | Realized gains (losses) | Unrealized appreciation (depreciation) | Purchases | Sales | Transfers in (out) of level 3 | Balance, end of year | |||||||||||||||||||||
Investment contracts | |||||||||||||||||||||||||||
Wrapper | $ | 3,375,340 | $ | — | $ | (1,445,991 | ) | $ | — | $ | — | $ | — | $ | 1,929,349 | ||||||||||||
Total | $ | 3,375,340 | $ | — | $ | (1,445,991 | ) | $ | — | $ | — | $ | — | $ | 1,929,349 |
December 31, 2013 | December 31, 2012 | ||
Average annual yield | 2.33% | 2.60% | |
Crediting interest rate | 2.30% | 2.50% |
Long Contracts | Short Contracts | ||||||||||||
2013 | 2013 | ||||||||||||
Number of Contracts | Aggregate Face Value | Number of Contracts | Aggregate Face Value | ||||||||||
US 5 Year Treasury Note | 639 | $ | 76,240,688 | — | $ | — | |||||||
US 10 Year Treasury Note | — | — | 130 | 15,996,094 | |||||||||
US Ultra Bond (CBT) | — | — | 93 | 12,671,250 | |||||||||
US Long Bond (CBT) | — | — | 198 | 25,405,875 | |||||||||
Euro Dollar 90 Day | 161 | 39,422,863 | 161 | 39,899,825 | |||||||||
800 | $ | 115,663,551 | 582 | $ | 93,973,044 |
Long Contracts | Short Contracts | ||||||||||||
2012 | 2012 | ||||||||||||
Number of Contracts | Aggregate Face Value | Number of Contracts | Aggregate Face Value | ||||||||||
US 2 Year Treasury Note | 51 | $ | 11,243,906 | — | $ | — | |||||||
US 5 Year Treasury Note | 231 | 28,739,648 | — | — | |||||||||
US 10 Year Treasury Note | 28 | 3,717,875 | — | — | |||||||||
US Ultra Bond (CBT) | — | — | 7 | 1,138,156 | |||||||||
US Long Bond (CBT) | — | — | 48 | 7,080,000 | |||||||||
310 | $ | 43,701,429 | 55 | $ | 8,218,156 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Investment Contracts | |||||||||||
Abnanv | 3% 01/14 SNR | $ | 1,680,000 | $ | 1,683,205 | ||||||
ABN Amro Bk | 2.5% 10/18 144A | 3,010,000 | 3,003,498 | ||||||||
ANZ Natl Intl | 3.125% 8/15 144A | 1,775,000 | 1,839,665 | ||||||||
ANZ Natl Intl | 1.12% 3/16 144A | 3,780,000 | 3,772,508 | ||||||||
AT&T Inc | 5.8% 2/15/19 | 189,000 | 216,549 | ||||||||
AT&T Inc | 3.875% 8/15/21 | 635,000 | 642,454 | ||||||||
AT&T Inc | 1.6% 2/15/17 | 1,110,000 | 1,108,056 | ||||||||
AT&T Inc | 1.4% 12/01/17 | 2,805,000 | 2,764,086 | ||||||||
AT&T Inc | 3ML+91 11/27/18 | 1,810,000 | 1,823,789 | ||||||||
Abbvie Inc | 1.75% 11/06/17 WI | 733,000 | 731,431 | ||||||||
Abbvie Inc | 2% 11/6/18 WI | 2,680,000 | 2,649,678 | ||||||||
ACE INA Holding | 5.875% 6/15/14 | 374,000 | 383,154 | ||||||||
Aetna Inc | 6.5% 9/15/18 | 1,850,000 | 2,178,144 | ||||||||
Aetna Inc | 4.125% 6/01/21 | 250,000 | 262,009 | ||||||||
Aetna Inc | 1.5% 11/15/17 | 53,000 | 52,198 | ||||||||
Agrium Inc | 3.15% 10/01/22 | 250,000 | 228,767 | ||||||||
Allied Wrld As | 7.5% 8/01/16 | 1,350,000 | 1,549,697 | ||||||||
Allya | 2012-5 A2 0.45% 7/15 | 145,924 | 145,958 | ||||||||
Allya | 2012-3 A2 0.7% 2/15/14 | 6,058 | 6,058 | ||||||||
Allya | 2011-5 A3 .99% 11/15 | 443,364 | 444,250 | ||||||||
Allya | 2012-2 A3 0.74% 4/16 | 129,226 | 129,449 | ||||||||
Allya | 2012-4 A3 0.59% 1/17 | 401,000 | 401,291 | ||||||||
Allyl | 2012-SN1 A3 .57% 8/20/15 | 590,000 | 590,236 | ||||||||
Allya | 2013-1 A3 .63% 5/15/17 | 989,000 | 988,981 | ||||||||
Allyl | 2013-SN1 A3 .72% 05/16 | 690,000 | 691,195 | ||||||||
Allya | 2013-2 A3 0.79% 01/18 | 4,400,000 | 4,398,946 | ||||||||
Altria Group Inc | 9.7% 11/10/18 | 883,000 | 1,160,064 | ||||||||
Altria Group Inc | 9.25% 8/6/19 | 663,000 | 872,913 | ||||||||
Altria Group | 4.125% 9/11/15 | 650,000 | 685,909 | ||||||||
American Exp | .875% 11/13/15 | 430,000 | 430,961 | ||||||||
American Exp Co | 2.65% 12/2/22 | 2,012,000 | 1,863,488 | ||||||||
American Express | 1.55% 5/22/18 | 230,000 | 224,462 | ||||||||
Amxca | 2012-2 A .68% 3/18 | 2,120,000 | 2,123,822 | ||||||||
Amxca | 2013-3 A .98% 05/19 | 6,342,000 | 6,328,267 | ||||||||
Amxca | 2012-5 A 0.59% 5/18 | 2,150,000 | 2,148,990 | ||||||||
American Ex Cc | 2.75% 9/15/15 | 962,000 | 995,532 | ||||||||
American Ex Mtn | 2.8% 9/19/16 | 456,000 | 476,432 | ||||||||
American Ex Mtn | 1.3% 07/29/16 | 463,000 | 466,551 | ||||||||
American Honda Fin | 2/10/125 | 450,000 | 447,914 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Amer Honda Mtn | 1.85% 9/14 144A | 1,000,000 | 1,009,827 | ||||||||
American Honda | 1.5% 9/17 144A | 430,000 | 423,478 | ||||||||
AIG Intl Mtn | 8.25% 8/15/18 | 830,000 | 1,037,754 | ||||||||
American Intl Grp | 3.8% 3/22/17 | 323,000 | 344,810 | ||||||||
American Intl Grp | 3% 3/20/15 | 500,000 | 513,542 | ||||||||
AIG Intl Grp | 4.875% 6/01/22 | 600,000 | 643,977 | ||||||||
Amer Intl Grp Glb | 5.6% 10/18/16 | 300,000 | 334,221 | ||||||||
American Intl | 5.85% 1/16/18 | 500,000 | 573,284 | ||||||||
Amgen Inc | 4.1% 6/15/21 | 2,255,000 | 2,346,869 | ||||||||
Anadarko Pete | 6.95% 6/15/19 | 995,000 | 1,184,280 | ||||||||
Anadarko Petro | 6.375% 9/15/17 | 500,000 | 573,813 | ||||||||
Anglo Ameri | 9.375% 4/8/14 144A | 545,000 | 557,080 | ||||||||
Anheuser-Busch Mtn | 4.375% 2/21 | 2,525,000 | 2,696,450 | ||||||||
Anheuser Busch | 1.375% 7/15/17 | 450,000 | 448,877 | ||||||||
Anheuser Busch | 2.5% 7/15/22 | 870,000 | 803,473 | ||||||||
Aon Corp | 3.125% 5/27/16 | 1,800,000 | 1,877,049 | ||||||||
Apache Corp | 1.75% 4/15/17 | 123,000 | 123,204 | ||||||||
Apple Inc Frn | 3ML+25 5/3/2018 | 1,800,000 | 1,796,954 | ||||||||
Apple Inc | 1% 5/3/18 | 6,023,000 | 5,821,091 | ||||||||
Atmos Energy | 6.35 6/15/17 | 126,000 | 142,438 | ||||||||
Australia & Nz | 1.875% 10/06/17 | 430,000 | 429,554 | ||||||||
Australia & Nz Bk | .9% 2/12/16 | 2,153,000 | 2,150,475 | ||||||||
Australia & Nz | 1.45% 5/15/18 | 460,000 | 444,963 | ||||||||
Avalonbay Comm | 3.625% 10/1/20 | 209,000 | 211,039 | ||||||||
Axis Specialty | 5.875% 6/1/20 | 2,150,000 | 2,357,101 | ||||||||
BACCT | 2007-A3 A3 1ML+2 11/16 | 1,300,000 | 1,299,698 | ||||||||
BACCT | 2006-A7 A7 1ML+4 12/16 | 1,885,000 | 1,879,319 | ||||||||
BACCT | 2007-A6 A6 1ML+6 9/16 | 3,745,000 | 3,744,674 | ||||||||
BB&T Corporation | 6.85% 4/19 | 9,000 | 10,817 | ||||||||
BHP Billiton Fn Ltd | 3.85 9/23 | 1,390,000 | 1,393,720 | ||||||||
BP Cap Markets | 3.125% 10/1/15 | 1,500,000 | 1,567,124 | ||||||||
BP Cap Markt Plc Mtn | 4.5% 10/20 | 750,000 | 809,341 | ||||||||
BP Capital Markets | 2.248% 11/16 | 440,000 | 455,305 | ||||||||
BP Cap Mkts | 3.561% 11/01/2021 | 665,000 | 669,263 | ||||||||
BP Capital Mkts | 1.375% 11/6/17 | 450,000 | 442,967 | ||||||||
BPCM | 1.375% 5/10/18 | 450,000 | 436,536 | ||||||||
BMWOT | 2011-A A3 .76% 8/15 | 1,225,144 | 1,226,398 | ||||||||
BPCE SA | 2.5% 12/10/18 | 2,415,000 | 2,400,790 | ||||||||
BPCE US | 3ML+125 4/25/16 | 2,955,000 | 2,993,453 | ||||||||
Heathrow Fdg Ltd | 2.5 6/15 144A | 1,260,000 | 1,276,428 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
BACM | 2006-1 A1A CSTR 9/45 | 3,223,323 | 3,471,235 | ||||||||
BACM | 2005-2 A5 CSTR 7/43 | 2,240,000 | 2,330,279 | ||||||||
BACM | 2006-2 A4 CSTR 5/45 | 3,000,000 | 3,271,926 | ||||||||
BACM | 2006-4 A1A CSTR 7/46 | 1,044,193 | 1,148,205 | ||||||||
Euro$ | 90 DAY FUT SEP15 EDU5 | (161 | ) | 8,050 | |||||||
Bk Of Amer Glb | 5.625 10/16 MTN | 140,000 | 156,003 | ||||||||
Bank Of America | 6% 9/01/17 | 2,225,000 | 2,539,508 | ||||||||
Bank Amer | 5.65% 5/01/18 | 4,525,000 | 5,148,355 | ||||||||
Bank Amer Mtn | 6.5% 8/1/16 | 1,620,000 | 1,829,004 | ||||||||
Bank Amer | 4.5% 4/1/15 | 2,210,000 | 2,312,049 | ||||||||
Bank Amer Fdg | 3.7% 9/1/15 | 1,345,000 | 1,405,943 | ||||||||
Bank Of America | 3.75% 7/12/16 | 265,000 | 281,708 | ||||||||
Bank Of America Cor | 5.7% 1/22 | 640,000 | 723,414 | ||||||||
Bank Amer Fdg C | 3.875% 3/22/17 | 1,740,000 | 1,856,481 | ||||||||
Bank of America Crp Mtn | 2 1/18 | 450,000 | 449,002 | ||||||||
Bank Amer Fdg C | 3.3% 01/11/23 | 1,700,000 | 1,606,119 | ||||||||
BAAT | 2012-1 A3 0.78% 6/16 | 1,009,054 | 1,011,372 | ||||||||
BAAT | 2012-1 A4 1.03 12/16 | 470,000 | 473,591 | ||||||||
Bank Montreal Mtn | 2.5% 1/11/17 | 450,000 | 463,384 | ||||||||
Bank Of NY | 4.3% 5/15/14 | 510,000 | 517,383 | ||||||||
Bank Of NY | 5.45% 5/15/19 | 86,000 | 97,658 | ||||||||
Bank Of NY Mtn | 2.4% 1/17/17 | 467,000 | 477,786 | ||||||||
Bank Nova Scotia | 3.4% 1/22/15 | 34,000 | 35,076 | ||||||||
Bank Nova Scotia | 2.55% 1/12/17 | 27,000 | 27,993 | ||||||||
Bk Nova Scotia | 1.375% 12/18/17 | 1,070,000 | 1,049,570 | ||||||||
Boit | 2004-A3 A3 1ML+17 2/17 | 2,500,000 | 2,501,100 | ||||||||
Bank T-M UFJ | 1.65% 2/26/18 144 | 470,000 | 457,109 | ||||||||
Bank T-M UFJ | 2.7% 9/9/18 144A | 450,000 | 454,788 | ||||||||
Barclays Bank Mtn | 5.2% 7/10/14 | 215,000 | 220,368 | ||||||||
Barclays Glb Mtn | 5% 9/22/16 | 5,500,000 | 6,054,769 | ||||||||
Baxter Intl Glbl | 4.625 3/15/15 | 18,000 | 18,868 | ||||||||
Baxter Intl | 4 3/1/14 | 21,000 | 21,115 | ||||||||
BSCMS | 05-T18 A4 4.933% 2/42 | 616,129 | 638,226 | ||||||||
BSCMS | 05-PWR8 A4 4.674% 6/41 | 452,632 | 470,721 | ||||||||
BSCMS | 2004-PWR4 A3 CSTR 6/41 | 145,612 | 146,445 | ||||||||
BSCMS | 2006-T22 A1A CSTR 4/38 | 764,448 | 829,084 | ||||||||
BSCMS | 06-PW12 A1A CSTR 9/38 | 577,137 | 630,850 | ||||||||
BSCMS | 06-PW11 AAB CSTR 3/39 | 140,247 | 140,286 | ||||||||
BSCMS | 2006-PW13 A4 5.54%0 9/41 | 2,750,000 | 2,998,300 | ||||||||
BSCMS | 2006-PW13 A1A 5.533 9/41 | 718,523 | 786,460 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
BSCMS | 2006-PW14 A4 5.201 12/38 | 1,200,000 | 1,312,577 | ||||||||
BSCMS | 2007-PW15 AAB 5.315% 2/44 | 76,779 | 76,952 | ||||||||
Bear Stearns Co | 5.3% 10/30/15 | 675,000 | 728,070 | ||||||||
Bear | 7.25% 2/01/18 | 1,350,000 | 1,615,776 | ||||||||
Becton Dickinso | 1.75% 11/8/16 | 1,170,000 | 1,191,678 | ||||||||
Bellsouth Corp | 5.2% 9/15/14 | 150,000 | 154,891 | ||||||||
Berkley Wr Corpmtn | 7.375% 9/19 | 700,000 | 837,111 | ||||||||
Berkley Wr Corp | 5.375% 9/15/20 | 1,300,000 | 1,398,034 | ||||||||
Blackrock Inc | 3.5% 12/10/14 | 1,725,000 | 1,775,410 | ||||||||
BMWLT | 2013-1 A3 .54% 09/15 | 442,000 | 442,021 | ||||||||
Euro$ | 90 DAY FUT SEP 16 EDU6 | 161 | (10,063 | ) | |||||||
Branch Banking Frn | 9/13/2016 | 2,178,000 | 2,162,037 | ||||||||
Brit Colmb Prov | 2.1% 5/18/16 | 1,170,000 | 1,208,066 | ||||||||
BTEL | 1.625% 06/28/16 | 265,000 | 267,335 | ||||||||
Burlington North San | 4.1% 6/21 | 2,000,000 | 2,051,872 | ||||||||
CBS Corp | 8.875% 5/15/19 | 900,000 | 1,150,086 | ||||||||
CBS Corp | 4.3% 2/15/21 | 770,000 | 782,900 | ||||||||
CDP Finl Inc | 3% 11/25/14 144A | 1,740,000 | 1,782,073 | ||||||||
CD | 2005-CD1 A4 CSTR 7/44 | 5,893,000 | 6,247,670 | ||||||||
CD | 06-CD2 A4 CSTR 1/46 | 3,000,000 | 3,205,278 | ||||||||
CD | 06-CD2 A1B CSTR 1/46 | 1,192,781 | 1,277,232 | ||||||||
CD | 2007-CD5 A1A 5.8% 11/44 | 771,405 | 860,911 | ||||||||
Cigna Mtn | 5.125% 6/15/20 | 1,350,000 | 1,496,391 | ||||||||
Cigna | 4% 2/15/22 | 1,670,000 | 1,697,502 | ||||||||
Cme Group Inc | 5.75% 2/14 | 14,000 | 14,082 | ||||||||
Comm | 2012-LC4 A1 1.156% 12/44 | 483,026 | 484,392 | ||||||||
Comm | 2012-CR5 A1 0.673% 12/45 | 788,456 | 781,827 | ||||||||
Comm | 2012-CR1 A1 1.116% 5/45 | 126,535 | 126,732 | ||||||||
Comm | 2012-CR1 A2 2.35% 5/45 | 360,000 | 366,047 | ||||||||
Comm | 2012-CR2 A1 .824% 08/45 | 157,948 | 157,347 | ||||||||
Comm | 2013-CR9 A1 1.3440% 7/45 | 179,897 | 180,302 | ||||||||
CVS Caremark | 2.25% 12/5/18 | 355,000 | 354,706 | ||||||||
Cameron Intl Crp | 4.5% 6/01/21 | 1,490,000 | 1,547,375 | ||||||||
Cameron Intl Crp | 1.15% 12/15/16 | 500,000 | 498,308 | ||||||||
Canada Govt | 2.375% 9/10/14 | 2,500,000 | 2,537,033 | ||||||||
Capital One Fin | 6.75% 9/15/17 | 18,000 | 21,029 | ||||||||
Capital One Fin Co | 1% 11/06/15 | 430,000 | 429,813 | ||||||||
Capital One | 3.5% 6/23 WI | 49,000 | 45,922 | ||||||||
Comet | 2013-A1 A1 .63% 11/18 | 2,315,000 | 2,310,002 | ||||||||
Comet | 2013-A3 A3 .96% 9/19 | 1,118,000 | 1,104,526 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Capital One Bk | 3.375% 2/15/23 | 2,460,000 | 2,283,399 | ||||||||
Carmx | 2012-1 A3 0.89% 9/16 | 1,062,657 | 1,065,308 | ||||||||
Carmx | 2012-3 A3 0.52% 7/17 | 330,000 | 329,893 | ||||||||
Carmx | 2013-3 A3 .97% 11/15/16 | 3,656,000 | 3,674,784 | ||||||||
Carmx | 2013-4 A2 .7% 11/16 | 2,260,000 | 2,259,298 | ||||||||
Carnival Corp | 1.2% 2/5/16 | 910,000 | 907,434 | ||||||||
Caterp Fin Serv | 5.5 3/15/16 | 14,000 | 15,339 | ||||||||
Celgene Corp | 1.9% 8/15/17 | 720,000 | 716,305 | ||||||||
CHAIT | 2006-A2 A2 5.16 4/18 | 2,000,000 | 2,186,598 | ||||||||
CHAIT | 07-A2 A2 1193476+.05% 04 | 1,000,000 | 991,329 | ||||||||
CHAIT | 2012-A5 A5 .59% 8/17 | 1,170,000 | 1,170,110 | ||||||||
CHAIT | 2012-A8 A8 0.54% 10/17 | 4,500,000 | 4,493,120 | ||||||||
CHAIT | 2013-A8 A8 1.01% 10/18 | 450,000 | 449,272 | ||||||||
Chevron Corp Ne | 1.104% 12/5/17 | 854,000 | 834,838 | ||||||||
Chevron Corp | 0.889% 06/24/16 | 197,000 | 197,468 | ||||||||
Chevron Corp | 2.427% 06/20/20 | 250,000 | 242,982 | ||||||||
Chevron Corp | 3.191% 06/20/23 | 290,000 | 277,925 | ||||||||
Cisco Systems | 5.5% 2/22/16 | 14,000 | 15,401 | ||||||||
Citigroup | 5.125 5/5/14 | 48,000 | 48,701 | ||||||||
Citigroup | 5% 9/15/14 | 1,890,000 | 1,943,837 | ||||||||
Citigroup Inc Glb | 4.7 5/29/15 | 63,000 | 66,323 | ||||||||
Citigroup Inc | 6.125% 11/21/17 | 1,370,000 | 1,578,570 | ||||||||
Citigroup Inc Mtn | 8.5% 5/22/19 | 2,500,000 | 3,202,308 | ||||||||
Citigroup | 6.375% 8/12/14 | 9,000 | 9,303 | ||||||||
Citigroup Inc | 4.5% 1/14/22 | 755,000 | 798,975 | ||||||||
Citigroup Inc | 4.45% 1/10/17 | 2,175,000 | 2,356,486 | ||||||||
Citigroup Inc | 2.25% 8/07/15 | 500,000 | 510,389 | ||||||||
Citigroup | 1.25% 1/15/16 | 210,000 | 210,686 | ||||||||
Citigroup Inc | 3.375% 3/01/23 | 520,000 | 493,481 | ||||||||
Citigroup | 1.3% 4/1/16 | 350,000 | 350,793 | ||||||||
Citigroup Inc | 1.7% 7/25/16 | 500,000 | 504,677 | ||||||||
Citigroup Inc | 3.875% 10/25/23 | 1,110,000 | 1,089,387 | ||||||||
Citigroup Inc | 1.3% 11/15/16 | 700,000 | 697,505 | ||||||||
CCCIT | 04-A8 A8 4.9% 12/16 | 5,700,000 | 5,933,711 | ||||||||
CCCIT | 2008-A6 A6 1ML+120 5/17 | 1,500,000 | 1,522,041 | ||||||||
CCCIT | 2012-A1 A1 0.55% 10/17 | 1,190,000 | 1,188,503 | ||||||||
CCCIT | 13-A3 A3 1.11% 7/23/18 | 1,940,000 | 1,946,972 | ||||||||
CCCIT | 2013-A6 A6 1.32% 09/18 | 1,800,000 | 1,813,201 | ||||||||
CGCMT | 2006-C5 A4 5.431% 10/49 | 370,000 | 403,680 | ||||||||
CGCMT | 13-GC11 A1 0.672% 12/17 | 326,842 | 324,617 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
CGCMT | 13-GC17 A2 2.962% 11/46 | 3,800,000 | 3,871,516 | ||||||||
Cleveland Elec | 7.88% 11/01/17 | 14,000 | 16,796 | ||||||||
Coca-Cola Co | 1.8% 9/01/16 WI | 1,735,000 | 1,776,553 | ||||||||
Coca-Cola Co | 1.65% 11/1/18 | 450,000 | 443,852 | ||||||||
Colgate-Palm Mtn | 1.375% 11/15 | 270,000 | 273,877 | ||||||||
Colgate-Palmolive | 0.9% 5/1/18 | 596,000 | 569,002 | ||||||||
COELT | 05-B A2 @LIBUS3+10 12/21 | 19,216 | 19,206 | ||||||||
Comcast Corp | 5.3% 1/15/14 | 18,000 | 18,026 | ||||||||
Comcast Corp | 5.9% 3/15/16 | 1,063,000 | 1,173,900 | ||||||||
Comcast Corp Glb | 5.875% 2/15/18 | 1,879,000 | 2,154,277 | ||||||||
Comerica Inc | 3% 9/16/15 | 74,000 | 76,806 | ||||||||
Comm | 2004-LB2A A4 4.715 3/39 | 129,178 | 129,179 | ||||||||
Comm | 2006-C8 A4 0 12/46 | 2,290,000 | 2,494,957 | ||||||||
Comm | 2006-C7 A4 CSTR 6/46 | 2,755,000 | 2,995,781 | ||||||||
Comm | 2006-C7 A1A CSTR 6/46 | 1,045,042 | 1,138,438 | ||||||||
Comm | 2013-LC6 A1 .7240% 1/46 | 229,176 | 227,176 | ||||||||
GCCFC | 2007-GG9 A2 5.381% 3/39 | 153,289 | 156,744 | ||||||||
Commonwealth NY | 2.5% 09/20/18 | 1,985,000 | 2,003,510 | ||||||||
Commonwealth Edi | 3.4% 9/01/21 | 1,615,000 | 1,621,856 | ||||||||
Rabobnk Nedrld Mtn | 2.125% 10/15 | 1,924,000 | 1,973,595 | ||||||||
Rabobank | 3.375% 1/19/17 | 39,000 | 41,049 | ||||||||
Coventry Health | 5.95% 3/15/17 | 1,000,000 | 1,130,200 | ||||||||
Coventry Hlth | 5.45% 6/15/21 | 300,000 | 333,364 | ||||||||
Credit Suisse Fb | 4.875 1/15/15 | 126,000 | 131,642 | ||||||||
Credit Suis Fb Usa | 5.125 8/15 | 79,000 | 84,657 | ||||||||
CSMC | 2007-C2 A2 CSTR 1/49 | 107,638 | 107,422 | ||||||||
CSFB | 2005-C5 A4 5.1% 8/38 | 3,250,000 | 3,411,538 | ||||||||
CSFB | 05-C5 AM CSTR 8/38 | 1,200,000 | 1,274,246 | ||||||||
CSMC | 2006-C1 A4 CSTR 2/39 | 1,600,000 | 1,723,688 | ||||||||
CSFB | 05-C6 A4 5.23% 12/40 | 2,282,738 | 2,418,520 | ||||||||
Cummins Inc | 3.65% 10/01/23 | 535,000 | 526,934 | ||||||||
DBUBS | 2011-LC3A A1 2.238% 8/44 | 73,674 | 74,444 | ||||||||
DCP Midstream | 9.75% 3/15/19 144 | 1,475,000 | 1,834,354 | ||||||||
Daimler Fin | 1.875% 9/15/14144A | 700,000 | 706,056 | ||||||||
Daimler Fin Llc | 2.3% 1/15 144A | 1,270,000 | 1,287,644 | ||||||||
Daimler Fina Na | 1.65% 4/15 144 | 1,690,000 | 1,703,091 | ||||||||
Daimler Fin Nor | 1.3% 7/15 144A | 430,000 | 432,523 | ||||||||
Daimler Fin Llc | 1.25 1/16 144A | 1,945,000 | 1,946,270 | ||||||||
Daimler Fn Na | 1.875% 1/18 144A | 950,000 | 935,374 | ||||||||
Dayton PWR&LG | 1.875% 9/16 144A | 1,025,000 | 1,033,301 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
John Deere Cap | 2.25% 6/07/16 | 2,850,000 | 2,941,682 | ||||||||
John Deere Cap | 3.9% 7/12/21 | 500,000 | 517,269 | ||||||||
John Deere Cap Mtn | 3.15% 10/21 | 850,000 | 836,903 | ||||||||
Deutsche Tel Mtn | 4.875% 7/8/14 | 350,000 | 357,435 | ||||||||
Devon Energy Co | 3.25% 5/15/22 | 1,000,000 | 952,136 | ||||||||
Devon Energy Co | 2.25% 12/15/18 | 459,000 | 453,947 | ||||||||
Directv Holdgs LLC | 3.125% 2/16 | 1,400,000 | 1,456,232 | ||||||||
Directv Hldgs | 3.5% 3/01/16 | 1,700,000 | 1,784,371 | ||||||||
Directv Hldgs | 3.8% 3/15/22 | 590,000 | 565,968 | ||||||||
Discover Bk | 2% 02/21/18 | 3,675,000 | 3,607,810 | ||||||||
DCENT | 2012-A1 A1 0.81% 8/17 | 1,744,000 | 1,750,104 | ||||||||
DCENT | 2012-A3 A 0.86% 11/15/17 | 1,720,000 | 1,726,907 | ||||||||
DCENT | 2012-A5 A5 1ML+20 1/18 | 2,900,000 | 2,898,039 | ||||||||
DCENT | 2013-A2 A2 .69% 07/18 | 3,925,000 | 3,918,507 | ||||||||
DCENT | 2013-A5 A5 1.04% 04/19 | 2,460,000 | 2,456,032 | ||||||||
Disney (Walt) Mtn | 1.1% 12/1/17 | 381,000 | 375,264 | ||||||||
Dominion Resour | 2.25% 9/1/15 | 425,000 | 435,546 | ||||||||
Dow Chemical | 3% 11/15/22 | 1,425,000 | 1,326,924 | ||||||||
Dr Pepper Snapp | 2.9% 1/15/16 | 685,000 | 710,888 | ||||||||
Dupont Ei Glbl | 4.875 4/30/14 | 17,000 | 17,247 | ||||||||
Duke Cap Corp | 5.5% 3/01/14 | 380,000 | 382,959 | ||||||||
Duke Energy Cor | 2.15% 11/15/16 | 47,000 | 48,164 | ||||||||
Duke Energy Cor | 1.625% 8/15/17 | 855,000 | 849,253 | ||||||||
Duke Energy Cor | 2.1% 06/15/18 | 1,314,000 | 1,305,819 | ||||||||
Duke Energy Car | 1.75% 12/15/16 | 705,000 | 719,355 | ||||||||
Erp Operat Lp | 4.625% 12/15/21 | 15,000 | 15,793 | ||||||||
Erac USA Fin Mtn | 2.25% 1/14 144A | 1,750,000 | 1,750,530 | ||||||||
Erac USA Llc | 3.3% 10/22 144A | 745,000 | 691,138 | ||||||||
Erac USA Fin | 2.8% 11/1/18 144A | 220,000 | 222,202 | ||||||||
Ebay Inc | 1.35% 7/15/17 | 390,000 | 387,625 | ||||||||
Ecolab Inc | 4.35% 12/8/21 | 770,000 | 797,342 | ||||||||
El Paso Nat | 5.95% 4/15/17 | 2,120,000 | 2,356,331 | ||||||||
Entergy La Llc | 1.875% 12/15/14 | 350,000 | 354,652 | ||||||||
Enterprise Produ | 1.25% 8/13/15 | 330,000 | 332,193 | ||||||||
Express Scripts | 2.75% 11/14 WI | 1,885,000 | 1,921,301 | ||||||||
Fpl Group | 7.875% 12/15 | 14,000 | 15,824 | ||||||||
FHLG | 6.00% 8/26 #G00587 | 57,602 | 63,388 | ||||||||
FHLG | 8.50% 7/28 #G00981 | 154,204 | 185,218 | ||||||||
FHLG | 5.50% 3/34 #G01665 | 188,127 | 206,489 | ||||||||
FHLG | 15YR 5.0% 4/20 #G11682 | 775,688 | 826,543 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FHLG | 15YR 5.50% 2/20 #G11728 | 2,381,013 | 2,551,816 | ||||||||
FHLG | 15YR 6.50% 4/18 #G11452 | 79,336 | 83,911 | ||||||||
FHLG | 15YR 4.50% 1/19 #G11565 | 84,453 | 89,507 | ||||||||
FHLG | 10.00% 10/30 #G20027 | 489,054 | 561,823 | ||||||||
FHLG | 15YR 5.00% 5/18 #P10034 | 145,672 | 151,930 | ||||||||
FHLG | 15YR 7.00% 12/14 #P60089 | 1,467 | 1,490 | ||||||||
FHLG | 20YR 5.50% 9/27 #G30345 | 89,893 | 98,692 | ||||||||
FHLG | 20YR 6.00% 9/27 #G30357 | 349,554 | 382,272 | ||||||||
FHLG | 20YR 5.50% 7/28 #G30564 | 862,774 | 946,630 | ||||||||
FHLG | 6.50% 5/22 #D95395 | 58,064 | 63,933 | ||||||||
FHLG | 6.00% 11/21 #D94929 | 69,537 | 75,763 | ||||||||
FHLG | 15YR 6.50% 4/16 #E83211 | 4,709 | 4,930 | ||||||||
FHLG | 15YR 6.00% 4/17 #E89007 | 112,046 | 118,079 | ||||||||
FHLG | 15YR 6.50% 6/17 #E90325 | 63,845 | 68,097 | ||||||||
FHLG | 15YR 6.00% 7/17 #E90474 | 92,483 | 98,151 | ||||||||
FHLG | 15YR 5.00% 12/17 #E93561 | 84,946 | 89,311 | ||||||||
FHLG | 15YR 4.00% 6/18 #E96973 | 132,828 | 140,102 | ||||||||
FHLG | 15YR 4.50% 8/18 #E98688 | 343,144 | 363,679 | ||||||||
FHLG | 15YR 4.50% 10/18 #E99833 | 368,085 | 390,112 | ||||||||
FHLG | 15YR 4.50% 9/18 #E99205 | 269,431 | 285,555 | ||||||||
FHLG | 15YR 5.00% 10/18 #E99955 | 53,538 | 56,593 | ||||||||
FHLG | 4.50% 6/23 #A45156 | 582,368 | 616,392 | ||||||||
FHLG | 6.00% 9/37 #G03282 | 406,911 | 448,508 | ||||||||
FHLG | 5.50% 12/37 #G03696 | 675,197 | 737,415 | ||||||||
FHLG | 6.00% 1/38 #G03781 | 778,222 | 857,777 | ||||||||
FHLG | 5.50% 12/37 #G03865 | 328,336 | 358,592 | ||||||||
FHLG | 5.50% 7/39 #G05546 | 708,556 | 773,848 | ||||||||
FHLG | 25YR 5.50% 7/35 #G05815 | 126,895 | 139,250 | ||||||||
FHLG | 15YR 5.00% 10/23 #G13276 | 480,542 | 513,700 | ||||||||
FHLG | 15YR 5.00% 12/18 #G13293 | 142,249 | 150,256 | ||||||||
FHLG | 15YR 6.00% 11/23 #G13368 | 185,779 | 203,189 | ||||||||
FHLG | 15YR 6.50% 7/21 #G12934 | 95,155 | 102,425 | ||||||||
FHLG | 15YR 5.00% 3/19 #G13052 | 487,229 | 515,043 | ||||||||
FHLG | 5.50% 1/24 #G13432 | 744,828 | 807,053 | ||||||||
FHLG | 15YR 5.50% 12/21 #G13481 | 451,169 | 487,290 | ||||||||
FHLG | 15YR 4.00% 7/24 #G13596 | 348,111 | 367,393 | ||||||||
FHLG | 15YR 5.00% 4/20 #G13598 | 495,821 | 524,876 | ||||||||
FHLG | 15YR 6.00% 1/24 #G13647 | 742,214 | 814,735 | ||||||||
FHLG | 15YR 6.00% 1/24 #G13982 | 694,626 | 761,331 | ||||||||
FHLG | 15YR 5.50% 12/24 #G14015 | 4,162,512 | 4,503,225 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FHLG | 15YR 3.50% 1/26 #G14312 | 239,819 | 250,464 | ||||||||
FHLG | 15YR 4.00% 9/25 #G14376 | 278,812 | 294,256 | ||||||||
FHLG | 15YR 3.50% 4/27 #G14449 | 685,120 | 716,066 | ||||||||
FHLG | 15YR 3.50% 10/26 #G14450 | 2,929,791 | 3,058,465 | ||||||||
FHLG | 15YR 2.5% 06/23#G14775 | 350,188 | 347,028 | ||||||||
FHLG | 15YR 4.00% 6/24 #G18312 | 416,614 | 439,691 | ||||||||
FHLG | 6.50% 10/26 #C90995 | 291,947 | 323,679 | ||||||||
FHLG | 6.50% 8/26 #C90985 | 56,903 | 63,073 | ||||||||
FHLG | 15YR 6.00% 4/20 #J02203 | 66,179 | 71,173 | ||||||||
FHLG | 15YR 6.50% 1/20 #J02204 | 69,448 | 75,213 | ||||||||
FHLG | 15YR 4.50% 9/24 #J10826 | 551,446 | 589,100 | ||||||||
FHLG | 10YR 3.00% 8/21 #J16393 | 273,133 | 283,098 | ||||||||
FHLG | 10YR 3.00% 8/21 #J16442 | 244,922 | 253,858 | ||||||||
FHLM ARM | 2.98% 8/41 #1B8533 | 206,153 | 215,809 | ||||||||
FHLM ARM | 3.07% 9/41 #1B8608 | 109,574 | 114,934 | ||||||||
FHLM ARM | 3.717% 05/41#1B8124 | 93,668 | 99,075 | ||||||||
FHLM ARM | 3.224% 4/41#1B8179 | 63,265 | 66,439 | ||||||||
FHLM ARM | 3.464% 5/1/41#1B8304 | 66,671 | 70,335 | ||||||||
FHLM ARM | 3.627% 6/1/41#1B8372 | 96,084 | 101,612 | ||||||||
FHLM ARM | 3.283 6/1/41 | 66,251 | 69,552 | ||||||||
FHLM ARM | 3.242% 9/1/41#1B8659 | 56,226 | 58,912 | ||||||||
FHR | 192 I 9% 2/22 | 161,991 | 185,396 | ||||||||
FHLG | 4.00% 12/40 #C03565 | 168,301 | 172,969 | ||||||||
FHLG | 6.00% 8/28 #C13910 | 58,912 | 64,929 | ||||||||
FHLG | 4.00% 4/39 #A85531 | 213,688 | 219,614 | ||||||||
FHLG | 4.00% 1/41 #A96478 | 721,055 | 741,051 | ||||||||
FHLG | 15YR 6.00% 10/16 #E01054 | 57,070 | 59,920 | ||||||||
FHLG | 15YR 5.50% 3/17 #E01136 | 20,237 | 21,199 | ||||||||
FHLG | 15YR 5.00% 12/17 #E01280 | 53,284 | 56,021 | ||||||||
FHLG | 15YR 6.50% 10/17 #E01254 | 14,942 | 15,956 | ||||||||
FHLG | 15YR 5.50% 11/18 #E01497 | 169,808 | 181,270 | ||||||||
FHLG | 15YR 4.00% 9/25 #E02787 | 335,909 | 357,350 | ||||||||
FHLG | 15YR 4.00% 4/26 #E02867 | 180,752 | 191,612 | ||||||||
FHLG | 15YR 4.50% 11/18 #B10931 | 226,553 | 240,111 | ||||||||
FHLG | 15YR 5.50% 11/18 #B10916 | 298,353 | 318,247 | ||||||||
FHLG | 15YR 4.50% 10/18 #B12459 | 57,386 | 60,820 | ||||||||
FHLG | 15YR 4.50% 4/19 #B13051 | 59,981 | 63,570 | ||||||||
FHLG | 15YR 4.50% 6/19 #B14961 | 156,463 | 165,826 | ||||||||
FHLG | 15YR 2.5% 09/22#J20415 | 191,462 | 195,478 | ||||||||
FHLG | 6.50% 9/23 #Z40030 | 4,339,946 | 4,833,509 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FHLG | 6.50% 5/24 #Z40034 | 4,528,410 | 5,051,213 | ||||||||
FHLG | 5.50% 5/34 #Z40042 | 1,391,564 | 1,526,636 | ||||||||
FHLG | 6.50% 8/21 #C90473 | 454,634 | 499,803 | ||||||||
FHLG | 20YR 6.00% 2/22 #C90523 | 151,000 | 164,898 | ||||||||
FHLG | 20YR 6.00% 7/22 #C90562 | 124,964 | 136,964 | ||||||||
FHR | 2344 ZJ 6.5 8/31 | 10,416 | 11,717 | ||||||||
FHR | 2420 MZ 6.5% 2/32 | 898,256 | 1,009,841 | ||||||||
FHR | 2399 OH 6.5 1/32 | 92,616 | 104,183 | ||||||||
FHR | 2425 OB 6 3/17 | 40,866 | 43,238 | ||||||||
FHR | 1584 L 6.5 9/23 | 143,392 | 158,572 | ||||||||
FHR | 1577 PK 6.5 9/23 | 55,204 | 61,304 | ||||||||
FHR | 1617 PM 6.5 11/23 | 114,566 | 126,902 | ||||||||
FHR | 1668 D 6.5 2/14 | 350 | 352 | ||||||||
FHR | 1837 Z 6.5 4/26 | 86,464 | 95,833 | ||||||||
FHR | 1835 D 6 4/26 | 114,174 | 125,080 | ||||||||
FHR | 2068 B 10% 11/22 | 21,291 | 24,364 | ||||||||
FHR | 2075 PH 6.5 8/28 | 81,024 | 91,195 | ||||||||
FHR | 2208 PG 7% 1/30 | 148,885 | 171,798 | ||||||||
FHR | 2262 Z 7.5% 10/30 | 63,887 | 75,126 | ||||||||
FHR | 2363 PF 6% 9/16 | 29,473 | 30,886 | ||||||||
FHR | 2356 GD 6% 9/16 | 24,410 | 25,592 | ||||||||
FHR | 2355 BP 6 9/16 | 33,104 | 34,628 | ||||||||
FNR | 1992-205 Z 7 11/22 | 144,649 | 163,009 | ||||||||
FNR | G93-3 K 7% 2/23 | 57,493 | 64,661 | ||||||||
FNR | 1993-250 Z 7 12/23 | 143,873 | 148,402 | ||||||||
FNR | 1994-40 Z 6.5 3/24 | 308,206 | 340,296 | ||||||||
FNR | 1997-46 PL 6% 7/27 | 426,877 | 472,028 | ||||||||
FNR | 2001-7 PF 7% 3/31 | 7,014 | 8,084 | ||||||||
FNR | 99-8 QD 6% 3/14 | 1,897 | 1,904 | ||||||||
FNMA | 0.875% 8/28/17 | 9,270,000 | 9,149,212 | ||||||||
FNMA | .5% 9/28/15 | 19,944,000 | 19,979,241 | ||||||||
FNMA | .875% 2/8/18 | 8,113,000 | 7,905,218 | ||||||||
FNMA | 0.875% 05/21/18 | 1,370,000 | 1,324,652 | ||||||||
FNMA | 0.625% 8/26/16 | 4,529,000 | 4,521,138 | ||||||||
FNMA | 1.875% 09/18/18 | 5,029,000 | 5,059,828 | ||||||||
FNMA | 1.625% 11/27/18 | 9,710,000 | 9,624,484 | ||||||||
FNR | 2011-88 AB 2.5% 9/26 | 218,850 | 224,593 | ||||||||
FNR | 2012-15 FP 1ML+38 6/40 | 689,764 | 692,349 | ||||||||
FNR | 2012-94 E 3% 6/22 | 904,697 | 938,026 | ||||||||
FNR | 2013-9 FA 1ML+35 03/42 | 1,016,408 | 1,016,773 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FNR | 2013-16 GP 3% 03/33 | 1,470,000 | 1,507,218 | ||||||||
FNR | 2013-40 PV 2% 01/26 | 721,219 | 729,662 | ||||||||
FNMA | 20YR 6.50% 7/18 #251825 | 83,475 | 89,379 | ||||||||
FNMA | 20YR 6.50% 11/18 #252104 | 77,039 | 82,759 | ||||||||
FNMA | 20YR 6.50% 3/19 #252348 | 55,560 | 59,998 | ||||||||
FNMA | 15YR 5.50% 4/18 #254686 | 173,574 | 184,010 | ||||||||
FNMA | 20YR 5.00% 5/23 #254762 | 3,056,983 | 3,320,189 | ||||||||
FNMA | 20YR 5.50% 6/23 #254764 | 241,620 | 265,433 | ||||||||
FNMA | 5.50% 6/33 #254767 | 1,579,091 | 1,738,734 | ||||||||
FNMA | 20YR 6.00% 9/21 #253999 | 49,426 | 53,716 | ||||||||
FNMA | 6.50% 10/21 #254044 | 7,447 | 8,202 | ||||||||
FNMA | 20YR 6.50% 5/22 #254305 | 70,635 | 78,015 | ||||||||
FNMA | 15YR 7.00% 5/17 #254353 | 12,829 | 13,697 | ||||||||
FNMA | 20YR 6.00% 11/22 #254544 | 65,562 | 71,907 | ||||||||
FNMA | 20YR 5.50% 1/23 #254589 | 225,932 | 248,199 | ||||||||
FNMA | 20YR 5.00% 3/25 #255667 | 1,042,438 | 1,132,192 | ||||||||
FNMA | 20YR 5.50% 9/23 #254916 | 3,327,293 | 3,655,213 | ||||||||
FNMA | 15YR 4.00% 9/18 #254919 | 102,806 | 108,858 | ||||||||
FNMA | 15YR 4.50% 11/18 #254952 | 1,207,620 | 1,283,481 | ||||||||
FNMA | 15YR 4.50% 12/18 #255031 | 1,208,684 | 1,284,612 | ||||||||
FNMA | 5.00% 8/25 #255810 | 1,099,664 | 1,194,345 | ||||||||
FNMA | 6.00% 7/27 #256803 | 503,970 | 550,486 | ||||||||
FNMA | 20YR 6.00% 10/27 #256928 | 331,883 | 362,641 | ||||||||
FNMA | 20YR 6.00% 1/28 #257048 | 248,605 | 271,734 | ||||||||
FNMA | 6.00% 2/28 #257076 | 252,383 | 275,865 | ||||||||
FNMA | 5.50% 11/34 #310105 | 999,077 | 1,099,991 | ||||||||
FNMA | 15YR 6.50% 6/14 #323794 | 1,845 | 1,856 | ||||||||
FHR | 3728 EA 3.5% 9/20 | 1,416,237 | 1,436,439 | ||||||||
FHR | 3763 QA 4% 4/34 | 320,726 | 336,933 | ||||||||
FHR | 3803 EN 3.5% 2/24 | 2,457,018 | 2,547,149 | ||||||||
FHR | 3820 DA 4% 11/35 | 303,942 | 321,382 | ||||||||
FHR | 2011-3844 PJ 5% 01/40 | 1,480,303 | 1,589,799 | ||||||||
FHR | 2011-3893 MV 4% 04/33 | 2,550,000 | 2,617,193 | ||||||||
FHR | 2011-3938 BE 2% 10/21 | 651,976 | 658,482 | ||||||||
FHR | 3943 EF 1ML+25 2/26 | 381,515 | 381,661 | ||||||||
FHR | 2012-4049 CA 3% 05/27 | 2,208,678 | 2,220,831 | ||||||||
FHR | 4046 LA 3% 11/2026 | 1,614,606 | 1,638,270 | ||||||||
FHR Ser | 4221 CLS GA 1.4% 7/23 | 1,259,865 | 1,256,033 | ||||||||
FHLMC | 2.375% 1/13/22 | 5,890,000 | 5,622,276 | ||||||||
FHLMC | 1.25% 5/12/17 | 665,000 | 669,340 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FHLMC | 1% 9/29/17 | 4,487,000 | 4,432,824 | ||||||||
FHLMC | .75% 1/12/18 | 3,580,000 | 3,482,921 | ||||||||
FHLMC | 1.375% 05/01/2020 | 2,240,000 | 2,098,354 | ||||||||
FHR | 2010-3736 QB 4% 05/37 | 4,265,000 | 4,550,703 | ||||||||
FNMA | 20YR 6.00% 12/18 #456110 | 159,481 | 169,689 | ||||||||
FNMA | 7-YR 3.18% 12/17 #466897 | 1,000,000 | 1,063,512 | ||||||||
FNMA | 15YR 6.50% 8/14 #506702 | 27,498 | 27,768 | ||||||||
FNMA | 15YR 6.50% 12/14 #535063 | 16,913 | 17,148 | ||||||||
FNMA | 15YR 8.00% 9/15 #535460 | 12,748 | 13,225 | ||||||||
FNMA | 6.50% 2/20 #535834 | 117,542 | 127,575 | ||||||||
FNMA | 20YR 6.50% 12/21 #545419 | 2,599 | 2,861 | ||||||||
FNMA | 6.50% 7/32 #545759 | 44,580 | 50,102 | ||||||||
FNMA | 6.50% 7/32 #545762 | 22,734 | 25,550 | ||||||||
FNMA | 15YR 6.00% 3/18 #555390 | 31,261 | 33,124 | ||||||||
FNMA | 15YR 6.50% 6/15 #555720 | 576 | 583 | ||||||||
FNMA | 15YR 6.00% 6/16 #583745 | 7,563 | 7,885 | ||||||||
FNMA | 15YR 5.50% 12/16 #611007 | 11,702 | 12,253 | ||||||||
FNMA | 15YR 5.50% 10/16 #612660 | 32,054 | 33,457 | ||||||||
FNMA | 15YR 6.50% 3/17 #627139 | 13,907 | 14,703 | ||||||||
FNMA | 15YR 5.50% 2/17 #634197 | 161,041 | 168,806 | ||||||||
FNMA | 15YR 7.00% 3/17 #636917 | 16,739 | 17,895 | ||||||||
FNMA | 15YR 7.00% 5/17 #638774 | 51,355 | 54,979 | ||||||||
FNMA | 20YR 4.50% 5/26 #AH0473 | 137,235 | 147,541 | ||||||||
FNMA Arm | 2.69% 9/41 #AH5260 | 299,642 | 312,887 | ||||||||
FNMA Arm | 3.228% 7/41#AI3469 | 88,378 | 92,951 | ||||||||
FNMA Arm | 3.01% 8/41 #AI4358 | 68,021 | 70,726 | ||||||||
FNMA Arm | 3.545% 07/41#AI6050 | 94,785 | 100,071 | ||||||||
FNMA Arm | 3.365% 10/41#AI6819 | 54,178 | 56,948 | ||||||||
FNMA Arm | 3.37% 9/41 #AI8935 | 94,397 | 98,753 | ||||||||
FNMA Arm | 09/41#AI9813 | 62,891 | 65,534 | ||||||||
FNMA Arm | 10/41#AJ3399 | 38,365 | 40,013 | ||||||||
FNMA | 15YR 5.50% 9/23 #AL0229 | 726,950 | 782,962 | ||||||||
FNMA | 15YR 5.50% 5/21 #AL0230 | 900,234 | 963,350 | ||||||||
FNMA | 5.50% 1/38 #AL0662 | 611,943 | 674,548 | ||||||||
FNMA | 15YR 3.50% 5/27 #AL1741 | 474,705 | 496,808 | ||||||||
FNMA | 15YR 3.50% 3/27 #AL1746 | 1,082,626 | 1,134,051 | ||||||||
FNMA | 15YR 3.50% 5/27 #AL1751 | 251,889 | 263,617 | ||||||||
FNMA | 15YR 3.50% 1/26 #AL1168 | 257,897 | 270,067 | ||||||||
FNMA | 20YR 6.00% #AL1318 | 981,123 | 1,075,099 | ||||||||
FNMA | 20YR 5.5% 12/33 #AL4500 | 500,000 | 551,287 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FNMA Arm | 06/42#AO2244 | 85,957 | 87,956 | ||||||||
FNMA | 15YR 6.00% 5/17 #644987 | 41,693 | 44,076 | ||||||||
FNMA | 6.00% 4/25 #660719 | 131,792 | 144,195 | ||||||||
FNMA | 15YR 5.00% 3/18 #667792 | 70,011 | 73,691 | ||||||||
FNMA | 15YR 7.00% 7/17 #667070 | 102,352 | 110,031 | ||||||||
FNMA | 15YR 6.00% 11/17 #668811 | 14,934 | 15,824 | ||||||||
FNMA | 15YR 5.50% 11/17 #670452 | 118,145 | 124,807 | ||||||||
FNMA | 15YR 5.50% 1/18 #680143 | 13,002 | 13,748 | ||||||||
FNMA | 15YR 5.50% 2/18 #681383 | 118,910 | 125,615 | ||||||||
FNR | 2001-44 PD 7% 9/31 | 19,044 | 21,951 | ||||||||
FNR | 2001-71 MB 6 12/16 | 78,672 | 82,772 | ||||||||
FNR | 02-58 HC 5.5% 9/17 | 67,235 | 71,027 | ||||||||
FNR | 2002-56 MC 5.5% 9/17 | 22,837 | 23,884 | ||||||||
FHR | 2474 NR 6.5 7/32 | 70,248 | 79,058 | ||||||||
FHR | 2484 LZ 6.5 7/32 | 128,723 | 144,837 | ||||||||
FHR | 2475 FB 1ML+100 2/32 | 506,094 | 515,881 | ||||||||
FHR | 2481 FB 1ML+100 2/32 | 509,322 | 519,172 | ||||||||
FNW | 2003-W4 2A 6.5% 10/42 | 21,187 | 23,774 | ||||||||
FNR | 2003-32 UN 4% 1/33 | 2,667,607 | 2,729,631 | ||||||||
FNR | 03-66 PA 3.5 2/33 | 701,017 | 727,867 | ||||||||
FNR | 2003-57 NK 5 6/18 | 30,551 | 32,584 | ||||||||
FNR | 2003-80 VC 5 4/16 | 32,769 | 32,748 | ||||||||
FNR | 2003-74 PG 4.5% 8/18 | 141,881 | 150,009 | ||||||||
FHR | 2527 TB 6% 11/32 | 37,134 | 41,253 | ||||||||
FHR | 2558 BD 5% 1/18 | 1,674,285 | 1,777,724 | ||||||||
FSPC | T-54 2A 6% 2/43 | 114,157 | 133,398 | ||||||||
FSPC | T-54 3A 7% 2/43 | 52,646 | 60,177 | ||||||||
FHR | 2590 BY 5% 3/18 | 2,113,022 | 2,245,709 | ||||||||
FNR | 2004-2 QL 4% 2/19 | 1,769,397 | 1,861,705 | ||||||||
FNW | 2004-W1 1A6 5.04% 11/43 | 465,082 | 480,638 | ||||||||
FHR | 2628 QM 4.5% 11/31 | 407,750 | 409,797 | ||||||||
FHR | 2650 QN 4.5 1/33 | 110,785 | 116,179 | ||||||||
FNR | 04-33 MW 4.5% 1/30 | 50,360 | 51,724 | ||||||||
FNR | 2004-82 HJ 5.5% 9/32 | 1,074,946 | 1,114,143 | ||||||||
FNR | 2004-95 AN 5.5% 1/25 | 92,506 | 94,462 | ||||||||
FNR | 2004-91 AR 5.50% 4/33 | 3,435,521 | 3,657,812 | ||||||||
FNR | 2005-90 FC 1ML+25 10/35 | 230,488 | 230,931 | ||||||||
FHR | 2662 DG 5% 10/22 | 207,070 | 211,479 | ||||||||
FHR | 2672 NH 0 9/18 | 306,799 | 321,591 | ||||||||
FNR | 2005-106 UF 1ML+30 11/35 | 223,276 | 224,068 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FHR | 2780 JG 4.5 4/19 | 14,519 | 14,987 | ||||||||
FHR | 2810 PD 6% 6/33 | 57,733 | 58,765 | ||||||||
FNR | 2006-41 MC 5.5% 7/35 | 217,454 | 230,114 | ||||||||
FHR | 2836 PX 4% 5/18 | 146,095 | 147,085 | ||||||||
FHR | 2872 JG 4.5% 10/19 | 941,037 | 999,103 | ||||||||
FHR | 2866 XE 4% 12/18 | 389,867 | 396,426 | ||||||||
FHR | 2971 KT 5.5% 5/33 | 55,715 | 55,876 | ||||||||
FHR | 3013 VJ 5% 1/14 | 13,213 | 13,215 | ||||||||
FHR | 3047 OB 5.5% 12/33 | 18,674 | 18,932 | ||||||||
FHR | 3117 JF 1ML+30 2/36 | 248,737 | 249,181 | ||||||||
FNR | 2006-90 BE 6% 4/35 | 640,007 | 663,766 | ||||||||
FNBR | 2007-B1 VA 5.5% 4/17 | 82,722 | 82,951 | ||||||||
FNR | 2007-114 A6 1ML+20 10/37 | 800,000 | 793,858 | ||||||||
FNR | 2007-77 MH 6 12/36 | 297,223 | 315,725 | ||||||||
FNR | 2008-29 BG 4.7% 12/35 | 101,661 | 106,005 | ||||||||
FNR | 2008-29 CA 4.5% 9/35 | 2,384,637 | 2,498,055 | ||||||||
FNR | 2009-10 AB 3/24 | 134,670 | 144,706 | ||||||||
FHR | 3397 FC .8613% 12/37 | 2,720,225 | 2,742,696 | ||||||||
FNR | 2011-5 PA 4% 10/25 | 76,608 | 77,747 | ||||||||
FNR | 2011-23 AB 2.75% 6/25/20 | 164,878 | 170,282 | ||||||||
FNR | 2011-40 DK 4% 11/25/37 | 1,578,306 | 1,611,712 | ||||||||
FNMA | 1.625% 10/26/15 | 5,915,000 | 6,044,249 | ||||||||
FNR | 2010-12 AY 4% 10/23 | 297,555 | 303,923 | ||||||||
FHR | 3564 JA 4 1/18 | 291,741 | 306,135 | ||||||||
FNR | 2010-31 AP 4.5% 02/40 | 3,634,280 | 3,816,351 | ||||||||
FNR | 2010-123 DL 3.5% 11/25 | 201,085 | 209,145 | ||||||||
FHR | 3741 HD 3% 11/15/39 | 273,248 | 279,197 | ||||||||
FNR | 2010-135 DE 2.25% 4/24 | 268,655 | 273,372 | ||||||||
FNR | 2010-143 B 3.5% 12/25 | 321,108 | 335,761 | ||||||||
FHR | 3636 KE 5% 12/36 | 99,817 | 101,273 | ||||||||
FNMA | 15YR 4.00% 7/18 #682424 | 44,124 | 46,721 | ||||||||
FNMA | 15YR 4.00% 9/18 #682450 | 23,331 | 24,705 | ||||||||
FNMA | 8.00% 6/27 #695533 | 14,821 | 17,673 | ||||||||
FNMA | 6.00% 3/33 #695584 | 16,321 | 18,001 | ||||||||
FNMA | 15YR 4.50% 5/18 #697602 | 104,859 | 111,446 | ||||||||
FNMA | 15YR 5.00% 5/18 #707298 | 601,265 | 635,377 | ||||||||
FNMA | 15YR 4.00% 6/18 #708802 | 68,365 | 72,390 | ||||||||
FNMA | 15YR 5.00% 6/18 #709848 | 112,249 | 118,769 | ||||||||
FNMA | 15YR 5.00% 6/18 #709877 | 73,261 | 77,347 | ||||||||
FNMA | 15YR 4.50% 6/18 #710238 | 49,603 | 52,719 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FNMA | 15YR 4.50% 7/18 #720393 | 109,478 | 116,356 | ||||||||
FNMA | 15YR 4.50% 5/19 #725445 | 44,203 | 46,980 | ||||||||
FNMA | 15YR 4.50% 4/19 #725352 | 353,177 | 375,364 | ||||||||
FNMA | 15YR 5.50% 4/19 #725528 | 108,289 | 115,184 | ||||||||
FNMA | 15YR 5.50% 9/19 #725793 | 20,604 | 21,984 | ||||||||
FNMA | 15YR 5.50% 9/19 #725796 | 27,414 | 29,383 | ||||||||
FNMA | 15YR 4.00% 7/18 #726128 | 43,194 | 45,736 | ||||||||
FNMA | 15YR 4.50% 8/18 #727466 | 67,445 | 71,681 | ||||||||
FNMA | 15YR 4.00% 8/18 #728852 | 11,585 | 12,267 | ||||||||
FNMA | 15YR 4.50% 8/18 #733772 | 195,030 | 207,282 | ||||||||
FNMA | 15YR 4.50% 12/19 #735290 | 78,230 | 83,144 | ||||||||
FNMA | 10YR 4.50% 11/14 #735023 | 1,269 | 1,349 | ||||||||
FNMA | 6.50% 11/22 #735137 | 210,035 | 228,624 | ||||||||
FNMA | 6.50% 12/32 #735415 | 22,761 | 25,578 | ||||||||
FNMA | 15YR 5.50% 3/20 #735521 | 39,324 | 41,989 | ||||||||
FNMA | 15YR 4.00% 12/18 #735522 | 357,217 | 378,245 | ||||||||
FNMA | 15YR 4.50% 10/20 #735926 | 14,583 | 15,499 | ||||||||
FNMA | 15YR 5.00% 11/18 #740462 | 54,553 | 57,763 | ||||||||
FNMA | 15YR 4.50% 3/19 #742078 | 185,264 | 196,903 | ||||||||
FNMA | 15YR 4.50% 6/19 #745278 | 174,886 | 185,872 | ||||||||
FNMA | 6.50% 7/35 #745092 | 24,002 | 26,854 | ||||||||
FNMA | 20YR 6.00% 4/24 #745407 | 144,197 | 158,076 | ||||||||
FNMA | 15YR 5.00% 11/18 #749596 | 178,687 | 189,343 | ||||||||
FNMA | 6.00% 9/33 #752786 | 30,986 | 34,233 | ||||||||
FNMA | 15YR 4.50% 3/19 #758528 | 164,744 | 175,093 | ||||||||
FNMA | 15YR 5.00% 4/19 #761326 | 125,623 | 133,256 | ||||||||
FNMA | 15YR 4.00% 6/19 #773153 | 100,365 | 106,273 | ||||||||
FNMA | 15YR 4.00% 7/19 #773445 | 222,358 | 235,448 | ||||||||
FNMA | 15YR 4.00% 3/19 #773886 | 157,447 | 166,715 | ||||||||
FNMA | 15YR 4.50% 4/19 #774267 | 58,528 | 62,205 | ||||||||
FNMA | 15YR 4.50% 4/19 #775768 | 83,410 | 88,649 | ||||||||
FNMA | 15YR 4.50% 5/19 #780233 | 358,027 | 380,517 | ||||||||
FNMA | 15YR 4.50% 7/19 #788390 | 12,563 | 13,352 | ||||||||
FNMA | 15YR 5.50% 10/19 #795064 | 33,708 | 36,178 | ||||||||
FNMA | 15YR 4.50% 10/19 #796680 | 329,195 | 349,874 | ||||||||
FNMA | 15YR 5.00% 12/19 #803919 | 242,379 | 257,729 | ||||||||
FNMA | 15YR 4.50% 2/20 #809744 | 9,198 | 9,776 | ||||||||
FNMA | 15YR 4.50% 11/20 #813915 | 14,112 | 14,998 | ||||||||
FNMA | 15YR 4.50% 10/20 #836381 | 50,447 | 53,616 | ||||||||
FNMA | 15YR 4.50% 7/21 #845515 | 7,864 | 8,358 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FNMA | 15YR 4.50% 1/21 #852735 | 1,673 | 1,778 | ||||||||
FNMA | 20YRS 6.00% 4/27 #888281 | 2,670,163 | 2,923,084 | ||||||||
FNMA | 6.50% 8/36 #888034 | 32,256 | 36,242 | ||||||||
FNMA | 15YR 5.00% 12/21 #888436 | 636,035 | 676,349 | ||||||||
FNMA | 4.50% 6/37 #888485 | 316,691 | 336,021 | ||||||||
FNMA | 6.50% 8/36 #888544 | 124,321 | 139,393 | ||||||||
FNMA | 15YR 4.50% 7/20 #888653 | 79,047 | 84,013 | ||||||||
FNMA | 15YR 5.00% 12/18 #888681 | 436,389 | 460,745 | ||||||||
FNMA | 15YR 4.50% 12/18 #888889 | 489,039 | 519,760 | ||||||||
FNMA | 7.50% 11/37 #888892 | 339,096 | 384,539 | ||||||||
FNMA | 15YR 6.50% 1/23 #889111 | 527,600 | 584,382 | ||||||||
FNMA | 15YR 4.50% 3/21 #890081 | 610,948 | 649,327 | ||||||||
FNMA | 15YR 4.50% 11/19 #889395 | 5,614 | 5,966 | ||||||||
FNMA | 15YR 6.00% 2/23 #889634 | 811,958 | 890,709 | ||||||||
FNMA | 5.50% 2/37 #904918 | 257,236 | 275,031 | ||||||||
FNMA | 7.00% 12/36 #907742 | 31,677 | 35,622 | ||||||||
FNMA | 20 YR 5.50% 1/24 #925847 | 623,644 | 685,107 | ||||||||
FNMA | 20YR 6% 11/27#928866 | 597,421 | 653,019 | ||||||||
FNMA | 15YR 4.50% 7/21 #932885 | 678,221 | 720,826 | ||||||||
FNMA | 15YR 6.00% 6/22 #944357 | 276,289 | 303,033 | ||||||||
FNMA | 20YR 5.50% 7/27 #986156 | 592,735 | 651,802 | ||||||||
FNMA | 7.50% 11/38 #995504 | 238,401 | 270,390 | ||||||||
FNMA | 15YR 4.50% 12/20 #995320 | 1,459,188 | 1,550,852 | ||||||||
FNMA | 15YR 5.00% 12/20 #995324 | 926,940 | 987,088 | ||||||||
FNMA | 15YR 6.00% 1/24 #995425 | 493,715 | 541,541 | ||||||||
FNMA | 15YR 4.50% 12/20 #995465 | 245,714 | 261,150 | ||||||||
FNMA | 15YR 6.50% 2/24 #995658 | 129,219 | 143,865 | ||||||||
FNMA | 8.00% 11/37 #995783 | 65,892 | 75,651 | ||||||||
FNMA | 20 YR 5.00% 1/25 #995884 | 2,673,825 | 2,904,041 | ||||||||
FNMA | 10YR 2.5% 10/22#AB6544 | 266,889 | 272,164 | ||||||||
FNMA | 10YR 2.5% 10/22#AB6730 | 207,667 | 211,772 | ||||||||
FNMA | 10YR 2.5% 05/23 #MA1431 | 570,968 | 582,254 | ||||||||
FNMA | 20YR 5.% 8/26 #AD0787 | 8,064,025 | 8,758,335 | ||||||||
FNMA | 10YR 6.50% 12/37 #AD0070 | 294,848 | 322,478 | ||||||||
FNMA | 15YR 5.00% 9/22 #AD0285 | 664,755 | 708,615 | ||||||||
FNMA | 6.50% 9/28 #AD0329 | 246,957 | 273,642 | ||||||||
FNMA | 6.50% 12/35 #AD0723 | 134,032 | 150,958 | ||||||||
FNMA | 20YR 5.50% 4/29 #AD0912 | 355,430 | 390,460 | ||||||||
FNMA | 15YR 5.50% 3/24 #AE0467 | 178,124 | 192,875 | ||||||||
FNMA | 15YR 6.00% 3/24 #AE0745 | 359,083 | 393,908 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
FNMA | 6.50% 8/36 #AE0746 | 107,119 | 120,083 | ||||||||
FNMA | 15YR 4.00% 7/19 #AE0968 | 927,775 | 982,391 | ||||||||
FNMA Arm | 11/40#AE6806 | 54,624 | 57,249 | ||||||||
Fifth Third Ban | 3.625% 1/25/16 | 1,150,000 | 1,208,113 | ||||||||
Fifth Thrd Banc | 1.45% 02/28/18 | 2,620,000 | 2,551,780 | ||||||||
FICO | 5/11/18 | 820,000 | 755,449 | ||||||||
FICO Prin | 0% 10/06/17 | 1,490,000 | 1,403,531 | ||||||||
FICO | 10/6/2017 | 2,035,000 | 1,916,903 | ||||||||
Fiserv Inc Mtn | 3.125% 10/01/15 | 1,700,000 | 1,760,085 | ||||||||
Fordo | 2011-B A3 .84% 6/15 | 228,383 | 228,472 | ||||||||
Fordo | 2012-B A3 0.72% 12/15/16 | 1,199,179 | 1,200,791 | ||||||||
Fordl | 2012-B A3 0.57% 9/15 | 490,000 | 490,391 | ||||||||
Fordo | 2012-D A2 0.4% 9/15 | 104,898 | 104,911 | ||||||||
Fordo | 2012-D A3 0.51% 4/17 | 510,000 | 509,858 | ||||||||
Fordo | 2013-A A3 .55% 07/17 | 713,000 | 712,698 | ||||||||
Fordl | 2013-A A3 0.60% 3/16 | 820,000 | 820,370 | ||||||||
Fordo | 2013-C A2 0.55% 4/16 | 4,000,000 | 4,003,566 | ||||||||
Fordo | 2013-B A3 .57% 6/16 | 590,000 | 589,430 | ||||||||
Fordl | 2013-B A3 .76% 09/16 | 350,000 | 349,900 | ||||||||
Ford Mtr Cr Llc | 4.25% 9/20/22 | 1,475,000 | 1,479,583 | ||||||||
Ford Mtr Cr | 2.875% 10/01/18 | 1,500,000 | 1,534,608 | ||||||||
Ford Mtr Cr Llc | 2.375% 1/16/18 | 3,680,000 | 3,715,008 | ||||||||
France Telecom | 2.125% 9/16/15 | 214,000 | 218,112 | ||||||||
GEMNT | 2009-4 A 3.8% 11/17 | 820,000 | 841,520 | ||||||||
GEMNT | 2012-1 A 1.03% 1/18 | 830,000 | 832,291 | ||||||||
GEMNT | 2012-5 A 0.97% 6/15/18 | 2,350,000 | 2,354,062 | ||||||||
GMACC | 2004-C2 A4 5.301% 8/38 | 415,797 | 419,904 | ||||||||
GMACC | 2006-C1 A4 5.238% 1/45 | 3,000,000 | 3,151,818 | ||||||||
GSMS | 2011-GC5 A1 CSTR 8/44 | 215,051 | 216,379 | ||||||||
GSMS | 2012-GC6 A1 1.282% 1/45 | 99,899 | 100,244 | ||||||||
GSMS | 2013-GC10 A1 .696% 2/46 | 59,169 | 58,797 | ||||||||
GSMS | 2013-GC10 A2 1.84% 2/46 | 170,000 | 169,202 | ||||||||
GSMS | 2013-GC12 A1 VAR 06/46 | 317,735 | 314,985 | ||||||||
GNMA | 15YR 6.50% 5/17 #569432 | 82,574 | 87,634 | ||||||||
GNMA | 20YR 6.50% 4/23 #593677 | 21,594 | 24,321 | ||||||||
GNII II | 6.50% 9/29 #002808 | 360,594 | 412,305 | ||||||||
GNII II | 5.50% 7/38 #004187 | 119,192 | 128,885 | ||||||||
GNII II | 6.00% 11/38 #004285 | 131,812 | 143,505 | ||||||||
GNMA | 7.00% 8/28 #416611 | 30,433 | 35,446 | ||||||||
GNMA | 7.00% 8/28 #458917 | 7,423 | 8,638 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
GNMA | 7.00% 7/28 #462643 | 121,638 | 141,833 | ||||||||
GNMA | 7.00% 2/28 #462548 | 2,175 | 2,525 | ||||||||
GNMA | 7.00% 10/28 #481353 | 114,231 | 133,385 | ||||||||
GNMA | 15YR 4.00% 1/25 #723552 | 162,051 | 172,167 | ||||||||
GNMA | 15YR 4% 04/25#737164 | 162,455 | 172,596 | ||||||||
GNMA | 15YR 4% 05/25#737261 | 164,343 | 174,601 | ||||||||
GNMA | 15YR 4% 03/25#737348 | 144,576 | 153,601 | ||||||||
GNMA | 4.50% 3/41 #738108 | 3,083,111 | 3,302,134 | ||||||||
GNMA | 15YR 7.00% 2/15 #515099 | 4,995 | 5,125 | ||||||||
GNMA | 6.50% 1/23 #530795 | 214,611 | 241,826 | ||||||||
GNMA | 7.00% 5/32 #552576 | 22,479 | 26,399 | ||||||||
GNMA | 8.00% 11/29 #186997 | 5,754 | 6,894 | ||||||||
GNMA | 15YR 4.50% 12/18 #781681 | 363,814 | 384,188 | ||||||||
GNMA | 15YR 8.00% 1/16 #781570 | 3,928 | 4,068 | ||||||||
GSMS | 04-GG2 A6 CSTR 8/38 | 598,684 | 604,680 | ||||||||
GSMS | 2006-GG6 A2 5.506% 4/38 | 57,495 | 57,484 | ||||||||
GSMS | 2006-GG6 A1A CSTR 4/38 | 388,605 | 419,434 | ||||||||
GNMA | 30YR 5.5% 11/35#783799 | 385,523 | 425,747 | ||||||||
GNMA | 30YR 5.5% 06/35#783800 | 187,843 | 207,640 | ||||||||
GSMS | 2006-GG8 A4 CSTR 11/39 | 4,300,000 | 4,714,726 | ||||||||
GSMS | 2006-GG8 A1A 5.547 11/39 | 491,872 | 538,929 | ||||||||
GNMA | 15YR 6.50% 6/20 #641437 | 75,504 | 82,430 | ||||||||
GNMA | 15YR 4% 06/25#676681 | 248,939 | 264,478 | ||||||||
GNMA | 15YR 4% 10/24#710940 | 142,841 | 151,757 | ||||||||
GECMC | 2006-C1 A4 CSTR 3/44 | 3,580,000 | 3,833,922 | ||||||||
GECMC | 2006-C1 A1A CSTR 3/44 | 404,793 | 435,749 | ||||||||
GE Cap | 5.3% 2/11/21 | 1,640,000 | 1,832,285 | ||||||||
Gen Elec Cap Crp | 5.5% 6/4/14 | 3,915,000 | 4,000,433 | ||||||||
Gecap | 5.625% 5/01/18 | 1,000,000 | 1,147,851 | ||||||||
GE Cap Corp | 2.25% 11/9/15 | 227,000 | 233,949 | ||||||||
General Elec Cap | 4.625% 1/7/21 | 390,000 | 424,749 | ||||||||
General Elec Mtn | 3.35% 10/17/16 | 440,000 | 467,398 | ||||||||
General Elec Cap | 4.65% 10/17/21 | 160,000 | 174,077 | ||||||||
GE Cap Corp | 2.9% 1/09/17 | 1,500,000 | 1,565,432 | ||||||||
General Elec Cap | 2.3% 4/27/17 | 1,330,000 | 1,366,567 | ||||||||
GE Cap Corp | 1.6% 11/20/17 | 250,000 | 248,247 | ||||||||
General Elec Cap | 3.1% 1/9/23 | 2,265,000 | 2,145,519 | ||||||||
General Elec Cap Co | 1.625 4/18 | 710,000 | 702,129 | ||||||||
General Ele Cap Cr | 1.5 7/12/16 | 475,000 | 479,989 | ||||||||
Gecap Med | 4.75% 9/15/14 | 426,000 | 439,350 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Gecap Mtn | 5.65% 6/09/14 | 590,000 | 603,359 | ||||||||
Gilead Sciences | 3.05% 12/01/16 | 2,250,000 | 2,375,537 | ||||||||
Goldman Sachs Glb | 7.5% 2/15/19 | 163,000 | 198,429 | ||||||||
Goldman Sachs Mtn | 3.7% 8/1/15 | 1,106,000 | 1,151,668 | ||||||||
Goldman Sach Mtn | 1.6% 11/23/15 | 1,500,000 | 1,516,122 | ||||||||
Goldman Sach Frn | 3ML+110 11/18 | 1,385,000 | 1,388,249 | ||||||||
Goldman Sachs | 5.5 GLB 11/15/14 | 66,000 | 68,789 | ||||||||
Goldman Sachs | 5.35% 1/15/16 | 2,507,000 | 2,712,867 | ||||||||
Goldman Sachs | 5.625% 1/15/17 | 1,200,000 | 1,321,896 | ||||||||
Goldman Sachs | 5.95% 1/18/18 | 665,000 | 755,746 | ||||||||
GSINC | 5.25% 7/27/21 | 2,420,000 | 2,646,101 | ||||||||
Goldman Sachs Gp | 5.75% 1/24/22 | 1,580,000 | 1,776,203 | ||||||||
Goldman Sach Grp | 3.3% 5/03/15 | 300,000 | 309,098 | ||||||||
GSINC | 2.375% 1/22/18 | 3,020,000 | 3,030,132 | ||||||||
Goldman Sachs Grp | 3ML+120 4/18 | 1,220,000 | 1,234,413 | ||||||||
Goldman Sachs Glb | 5.15% 1/15/14 | 284,000 | 284,431 | ||||||||
Goldman Sac Grp | 3.625% 2/07/16 | 500,000 | 524,712 | ||||||||
GSINC | 2.9% 07/19/18 | 680,000 | 691,679 | ||||||||
GNR | 2002-33 ZD 6% 5/32 | 822,966 | 921,771 | ||||||||
GNR | 2009-45 PB 4.5% 7/33 | 500,000 | 516,031 | ||||||||
GNR | 2008-47 PC 5% 11/16/37 | 2,987,394 | 3,215,544 | ||||||||
GNR | 2009-93 PB 3% 12/38 | 264,753 | 271,600 | ||||||||
GNR | 2009-127 PL 4.25% 10/38 | 1,389,419 | 1,470,014 | ||||||||
GNR | 2010-47 CN 4.5% 8/38 | 1,063,515 | 1,125,448 | ||||||||
GNR | 2010-99 PT 3.5% 8/33 | 103,504 | 104,681 | ||||||||
GNR | 2010-73 CB 4.40% 8/35 | 2,927,200 | 3,127,316 | ||||||||
GNR | 2010-73 GA 4.5% 9/36 | 2,698,452 | 2,893,276 | ||||||||
GNR | 2010-68 LA 4.5% 3/38 | 2,900,307 | 3,075,090 | ||||||||
GNR | 2010-112 PM 3.25% 9/33 | 82,966 | 83,890 | ||||||||
GNR | 2010-120 FB 1ML+30 9/35 | 273,694 | 274,705 | ||||||||
GNR | 2010-162 PQ 4.5% 06/39 | 990,628 | 1,054,381 | ||||||||
CFGNR | 2011-150 D 3% 4/37 | 120,063 | 121,925 | ||||||||
GNR | 2013-9 F VAR 1ML+25 1/43 | 709,112 | 707,324 | ||||||||
GNR | 2012-149 MF 1ML+25 12/42 | 993,890 | 987,544 | ||||||||
G2SF | 12-149 LF 1ML+25 12/42 | 411,627 | 409,005 | ||||||||
GNR | 2012-113 FJ 1ML+25 1/42 | 469,610 | 468,785 | ||||||||
GNR | 2013-37 F 0.4712% 3/20/43 | 301,341 | 299,967 | ||||||||
GNR | 13-41 PA 2.5% 04/40 | 584,908 | 585,069 | ||||||||
GNR | 2000-9 ZJ 8.5 2/30 | 127,785 | 153,363 | ||||||||
SSBK Stif Fund | 0 | 69,570,782 | 69,570,792 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
GCCFC | 2005-GG3 A3 4.569% 8/42 | 264,536 | 265,682 | ||||||||
GCCFC | 2005-GG3 A4 CSTR 8/42 | 3,495,000 | 3,586,406 | ||||||||
HCP Inc | 6.7 1/30/18 | 2,060,000 | 2,393,376 | ||||||||
Hcp Inc Mtn | 2.7% 2/1/14 | 500,000 | 500,781 | ||||||||
HSBC Holdings Plc | 5.1% 4/05/21 | 360,000 | 399,619 | ||||||||
HSBC Hldngs Plc | 4.875% 1/22 | 675,000 | 727,409 | ||||||||
HSBC USA Inc | 2.375% 2/13/15 | 440,000 | 448,961 | ||||||||
HSBC USA Inc | 1.625% 1/16/18 | 377,000 | 371,577 | ||||||||
HSBC USA Inc | 2.625% 09/24/18 | 1,848,000 | 1,878,228 | ||||||||
HSBC Finance Co | 5% 6/30/15 | 400,000 | 422,687 | ||||||||
HSBC Finance Corp Frn | 1/15/14 | 2,355,000 | 2,355,024 | ||||||||
HSBC Fin Corp Glb | 5.25% 1/15/14 | 350,000 | 350,582 | ||||||||
Harley David | 2.7% 3/15/17 144A | 350,000 | 358,673 | ||||||||
Hartford Finl Svcs | 5.125% 4/22 | 570,000 | 619,985 | ||||||||
Heineken Nv | 1.4% 10/1/17 144A | 220,000 | 215,746 | ||||||||
Canada Govt | .875% 2/14/17 | 640,000 | 639,958 | ||||||||
Hewlett Packard | 6.125% 3/01/14 | 325,000 | 327,752 | ||||||||
Hewlett Packard | 4.75% 6/02/14 | 63,000 | 64,009 | ||||||||
Hewlett-Packard | 2.625% 12/9/14 | 440,000 | 447,311 | ||||||||
Hewlett-Packard Co | 2.6% 9/17 | 1,090,000 | 1,107,039 | ||||||||
Harot | 2011-3 A3 .88% 9/15 | 2,088,503 | 2,093,077 | ||||||||
Harot | 2013-3 A3 0.77% 05/17 | 3,140,000 | 3,147,079 | ||||||||
Harot | 2012-2 A3 0.7% 2/16 | 530,000 | 531,062 | ||||||||
Harot | 2012-1 A3 0.77% 1/16 | 942,311 | 944,273 | ||||||||
Harot | 2012-1 A4 0.97% 4/18 | 131,000 | 131,763 | ||||||||
Harot | 2013-2 A3 .53% 2/17 | 330,000 | 329,751 | ||||||||
HSBC Bank | 3.1% 5/24/16 144A | 3,580,000 | 3,749,638 | ||||||||
HSBC | 1.5% 05/15/18 144A | 930,000 | 907,676 | ||||||||
HSBC Bank | 3ML+64 5/18 144A | 2,435,000 | 2,440,282 | ||||||||
Hunt | 2012-1 A3 0.81% 9/16 | 408,420 | 409,309 | ||||||||
Hunt | 2012-2 A2 0.38% 9/15 | 141,581 | 141,590 | ||||||||
Huntington Banc | 2.6% 8/02/18 | 1,225,000 | 1,225,108 | ||||||||
Huntington Natl Bk | 1.35% 8/16 | 250,000 | 249,891 | ||||||||
HuntingtonBk | 1.3% 11/20/16 | 305,000 | 305,023 | ||||||||
Hart | 2012-A A3 .72% 3/16 | 109,674 | 109,846 | ||||||||
Hart | 2013-A A3 0.56% 7/17 | 863,000 | 862,926 | ||||||||
Hart | 2013-B A3 .71% 09/17 | 790,000 | 791,026 | ||||||||
Hart | 2013-C A3 1.01% 02/18 | 4,200,000 | 4,218,475 | ||||||||
Hart | 2011-C A3 .83% 12/15 | 1,591,202 | 1,593,922 | ||||||||
Hyundai Cap Am | 1.625 10/15 144 | 225,000 | 226,126 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Hyundai Cap | 1.875% 8/9/16 144A | 119,000 | 119,423 | ||||||||
IL Sales Tax | 1.56% 06/15/17 | 2,150,000 | 2,142,819 | ||||||||
ING US Inc | 2.9% 02/15/18 | 2,350,000 | 2,402,471 | ||||||||
Ingersoll Rand | 2.875 1/19 144A | 160,000 | 157,616 | ||||||||
Intel Corp | 1.35% 12/15/17 | 230,000 | 227,217 | ||||||||
Intercont Exch | 2.5% 10/15/18 | 318,000 | 320,173 | ||||||||
Intl Paper Co | 4.75% 2/15/22 | 2,250,000 | 2,355,775 | ||||||||
Intesa Sanpaolo Spa | 3.12% 1/16 | 950,000 | 968,058 | ||||||||
JPMorgan Chase | 1.1% 10/15/15 | 430,000 | 431,640 | ||||||||
JPMorgan Chase | 1.125% 2/26/16 | 450,000 | 450,740 | ||||||||
JPMorgan Chase | 4.95% 3/25/20 | 650,000 | 720,072 | ||||||||
JPMC Co | 4.25% 10/15/20 | 2,050,000 | 2,170,446 | ||||||||
JPMC Co | 4.625% 5/10/21 | 1,400,000 | 1,507,264 | ||||||||
JPMorgan Chase | 3.15% 7/05/16 | 1,425,000 | 1,493,847 | ||||||||
JPMorgan Chase | 3.2% 1/25/23 | 1,000,000 | 946,520 | ||||||||
JPMCC | 2005-LDP4 ASB CSTR 10/42 | 669,909 | 680,372 | ||||||||
JPMCC | 06-CB14 A4 CSTR 12/44 | 3,000,000 | 3,201,060 | ||||||||
JPMCC | 2006-LDP7 A1A CSTR 4/45 | 883,783 | 970,574 | ||||||||
JPMCC | 2006-CB16 A1A 5.546 5/45 | 1,476,443 | 1,618,321 | ||||||||
JPMCC | 2007-LD11 A2 CSTR 6/49 | 160,593 | 161,813 | ||||||||
JPMCC | 2012-C6 A2 2.2058% 5/45 | 420,000 | 427,615 | ||||||||
JPMCC | 2013-C10 .7302% 12/15/47 | 235,635 | 233,514 | ||||||||
JPM T | 13-C16 A2 3.07% 12/46 | 3,500,000 | 3,594,989 | ||||||||
Jefferies Grp | 6.875 4/15/21 | 985,000 | 1,121,945 | ||||||||
JPmorgan Chase & Co | 2% 8/15/17 | 430,000 | 435,997 | ||||||||
US 5YR Note Fut | MAR14 FVH4 | 639 | (59,906 | ) | |||||||
US 10YR Note Fut | MAR14 TYH4 | (130 | ) | 22,344 | |||||||
US Long Bond Fut | MAR14 USH4 | (198 | ) | 92,822 | |||||||
US Ultra(CBT) Fut | MAR14 WNH4 | (93 | ) | 75,563 | |||||||
Keycorp Mtn | 5.1% 3/24/21 | 435,000 | 474,824 | ||||||||
Keycorp Mtn | 2.3% 12/13/18 | 680,000 | 674,704 | ||||||||
Keybank Natl | 1.65% 2/1/18 | 1,384,000 | 1,360,430 | ||||||||
Kimco Realty Corp | 3.12% 06/23 | 975,000 | 885,212 | ||||||||
Kinder Morgan En | 3.95% 9/1/22 | 1,210,000 | 1,177,345 | ||||||||
Kinder Morgan En | 2.65 2/1/19 | 207,000 | 204,593 | ||||||||
Kraft Foods | 5.375% 02/20 WI | 523,000 | 589,413 | ||||||||
Kraft Foods Grp | 3.5 6/22 WI | 980,000 | 953,689 | ||||||||
Kroger Co | 2.3% 1/15/19 | 350,000 | 348,054 | ||||||||
Kroger Co | 3.3% 01/15/21 | 1,780,000 | 1,766,009 | ||||||||
LBUBS | 2006-C6 A4 5.372% 9/39 | 3,915,000 | 4,270,318 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Laboratory Corp | 3.75% 8/23/22 | 140,000 | 135,407 | ||||||||
LBUBS | 2005-C1 A4 4.74% 2/30 | 4,025,000 | 4,131,944 | ||||||||
LBUBS | 05-C1 A1A 4.581% 2/15/30 | 537,958 | 553,683 | ||||||||
LBUBS | 2005-C5 A4 4.954% 9/30 | 2,983,339 | 3,116,011 | ||||||||
LBUBS | 2004-C8 4.799% 12/29 | 2,870,681 | 2,919,368 | ||||||||
Lbubs 04-C2 A4 | 4.367 3/36 | 47,834 | 47,914 | ||||||||
LBUBS | 2006-C1 A4 5.156 2/31 | 2,300,000 | 2,456,269 | ||||||||
Liberty Mut | 5.75% 3/15/14 144A | 750,000 | 757,484 | ||||||||
Liberty Mutual | 5% 6/1/21 144A | 390,000 | 408,508 | ||||||||
Liberty Mutual | 4.95% 5/22 144A | 930,000 | 960,289 | ||||||||
Liberty Prop Lp | 5.65% 8/15/14 | 1,000,000 | 1,028,605 | ||||||||
Lincoln National | 6.25% 2/15/20 | 1,350,000 | 1,554,669 | ||||||||
Lincoln Nationa | 4.2% 3/15/22 | 515,000 | 524,053 | ||||||||
Lloyds Bank Plc | 2.3% 11/18 | 940,000 | 937,120 | ||||||||
Lloyds Tsb(Ungt | 6.375% 1/21/21 | 1,800,000 | 2,120,024 | ||||||||
Lockheed Martin | 2.125% 9/15/16 | 485,000 | 497,569 | ||||||||
Lorillard Tobc Co | 3.5% 8/04/16 | 355,000 | 373,522 | ||||||||
Lorillard Tobacco | 2.3% 8/21/17 | 525,000 | 525,947 | ||||||||
Lyondellbas Inds | 5% 4/15/19 | 2,000,000 | 2,221,242 | ||||||||
MLCFC | 2006-4 A3 CSTR 12/49 | 2,100,000 | 2,276,648 | ||||||||
MLCFC | 2007-7 ASB 5.745% 6/50 | 1,231,394 | 1,266,895 | ||||||||
Mack Cali Rlty Lp | 2.5% 12/15/17 | 400,000 | 395,573 | ||||||||
Macys Retail | 3.875% 1/15/22 | 270,000 | 265,760 | ||||||||
Manitoba (Prov) | 1.125% 6/1/18 | 1,190,000 | 1,160,853 | ||||||||
Markel Corp | 7.125% 9/30/19 | 1,300,000 | 1,547,001 | ||||||||
Marshmclen | 2.55% 10/15/18 | 471,000 | 471,454 | ||||||||
Marriott Intl | 3% 3/01/19 | 2,440,000 | 2,455,806 | ||||||||
Massmutual Glb | 3.125% 4/16 144A | 1,090,000 | 1,140,896 | ||||||||
Massmutual Glbl | 2% 4/5/17 144A | 890,000 | 892,291 | ||||||||
Massmutual Gbl | 2.1 8/2/18 144A | 750,000 | 743,583 | ||||||||
Mckesson Corp | 0.95% 12/04/15 | 83,000 | 82,947 | ||||||||
Mckesson Corp | 4.75% 3/1/21 | 425,000 | 449,640 | ||||||||
MBALT | 2013-B A3 0.62% 07/16 | 706,000 | 705,982 | ||||||||
MBALT | 2013-A A3 .59% 02/16 | 840,000 | 840,472 | ||||||||
MBART | 2013-1 A2 .5% 03/16 | 4,200,000 | 4,201,543 | ||||||||
MBART | 2013-1 A3 0.78% 08/17 | 570,000 | 571,264 | ||||||||
MBART | 2011-1 A3 0.85% 3/15 | 274,171 | 274,361 | ||||||||
Merrill Lyn Co | 6.4% 8/28/17 | 161,000 | 185,547 | ||||||||
Merrill Lyn | 6.875% 4/25/18 | 1,197,000 | 1,414,672 | ||||||||
Merrill Lynch Co | 5% 1/15/15 | 53,000 | 55,222 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
MLMT | 05-CIP1 A4 5.047% 7/38 | 3,270,000 | 3,450,180 | ||||||||
MLMT | 05-CKI1 A1A CSTR 11/37 | 205,470 | 218,394 | ||||||||
MLMT | 2005-CKI1 A6 CSTR 11/37 | 2,260,748 | 2,398,916 | ||||||||
MLMT | 05-LC1 AM CSTR 1/44 | 1,000,000 | 1,067,075 | ||||||||
MLMT | 2006-C2 A1A CSTR 8/43 | 666,860 | 731,832 | ||||||||
MLMT | 2006-C1 A4 CSTR 5/39 | 2,940,000 | 3,193,352 | ||||||||
Met Life Glb Fn | 7.717% 2/15/19 | 2,500,000 | 3,097,208 | ||||||||
Metlife Inc | 6.75% 6/1/16 | 164,000 | 186,462 | ||||||||
Metlife Inc Step | 12/15/2017 | 184,000 | 181,968 | ||||||||
Met Life Glbl Fd | 2% 1/9/15 144 | 2,000,000 | 2,032,356 | ||||||||
Met Life Glbl | 1.5 1/18 144A | 2,190,000 | 2,129,050 | ||||||||
Microsoft Corp | .875% 11/15/17 | 138,000 | 135,807 | ||||||||
MLCFC | 2006-2 A4 CSTR 6/46 | 3,000,000 | 3,276,828 | ||||||||
MLCFC | 2006-3 A4 CSTR 7/46 | 4,629,655 | 5,018,361 | ||||||||
Mizuho Corp Bk | 1.55% 10/17 144A | 1,140,000 | 1,113,693 | ||||||||
Morgan Stanley | 2.125% 4/25/18 | 2,625,000 | 2,601,128 | ||||||||
Morgan Stanley | 5.45% 1/09/17 | 450,000 | 498,888 | ||||||||
Mstdw | 5.55% 4/27/17 | 1,925,000 | 2,146,619 | ||||||||
MSTDW Mtn | 6.25% 8/28/17 | 915,000 | 1,046,569 | ||||||||
MSC | 2005-HQ7 A4 CSTR 11/42 | 3,000,000 | 3,155,061 | ||||||||
MSC | 2006-HQ8 A4 CSTR 3/44 | 4,790,000 | 5,113,742 | ||||||||
MSC | 2006-IQ11 A1A CSTR 10/42 | 877,630 | 951,102 | ||||||||
MSC | 2005-HQ5 A4 1/42 | 3,597,535 | 3,685,751 | ||||||||
Mstdw | 1.75% 2/25/16 | 412,000 | 417,507 | ||||||||
Morgan Stanley | 3.75% 2/25/23 | 1,410,000 | 1,369,869 | ||||||||
Morgan Stanley | 5.375% 10/15/15 | 300,000 | 322,671 | ||||||||
Morgan Stanley | 5.75% 1/25/21 | 3,070,000 | 3,468,793 | ||||||||
Morgan Stanley | 5.5% 7/28/21 | 965,000 | 1,076,962 | ||||||||
Morgan Stanley Glb | 6% 4/28/15 | 1,656,000 | 1,763,696 | ||||||||
Morgan Stanley | 6% 5/13/14 | 2,690,000 | 2,741,301 | ||||||||
MSC | 2006-HQ9 A4 CSTR 7/44 | 420,076 | 457,477 | ||||||||
MSC | 2007-HQ11 A31 CSTR 2/44 | 1,186,790 | 1,199,158 | ||||||||
MSC | 2011-C3 A3 4.054% 7/49 | 59,000 | 62,471 | ||||||||
MSBAM | 2012-C5 A1 .916% 8/45 | 344,186 | 345,065 | ||||||||
MSBAM | 2012-C5 A2 1.972% 8/45 | 710,000 | 721,231 | ||||||||
Mosaic Co New | 4.25% 11/15/23 | 2,275,000 | 2,243,105 | ||||||||
Mylan Inc | 1.8% 6/24/16 144A | 325,000 | 331,324 | ||||||||
Mylan Inc | 2.55% 03/28/19 | 805,000 | 796,518 | ||||||||
NCUA Gtd Nts Ma | 1.4% 6/12/15 | 620,000 | 629,567 | ||||||||
NYSE Euronext | 2% 10/05/17 | 950,000 | 950,840 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Nabors Ind Mtn | 6.15% 2/15/18 | 925,000 | 1,039,008 | ||||||||
National Austr Ny Br | 2% 3/9/15 | 450,000 | 457,986 | ||||||||
National Austr | 1.6% 8/07/15 | 930,000 | 944,826 | ||||||||
Natl Aust Bk | 3.75% 3/02/15 144A | 1,085,000 | 1,125,429 | ||||||||
National Bk Can | 1.45% 11/7/17 | 3,020,000 | 2,934,990 | ||||||||
Natl Rural | 4.75% 3/1/14 | 159,000 | 160,135 | ||||||||
Nationwide Mtn | 4.65% 2/15 144A | 2,745,000 | 2,859,521 | ||||||||
Nbcuniversal Med | 3.65% 4/30/15 | 430,000 | 447,200 | ||||||||
Nbcuniversal Media | 2.875% 1/23 | 725,000 | 670,111 | ||||||||
New York Life | 3% 5/4/15 144A | 150,000 | 154,796 | ||||||||
NY Life Gbl | 2.45% 7/14/16 144A | 2,000,000 | 2,069,882 | ||||||||
New York Life | 1.3% 10/17 144A | 1,070,000 | 1,035,321 | ||||||||
NY Life Glb | 0.8% 2/12/16 144A | 3,725,000 | 3,741,844 | ||||||||
News Amer Inc | 6.9% 3/1/19 | 925,000 | 1,109,093 | ||||||||
Nippon Teleg&Telep | 1.4%7/18/17 | 1,752,000 | 1,730,217 | ||||||||
Narot | 2013-A A3 .50% 5/17 | 770,000 | 769,600 | ||||||||
Narot | 2011-B A3 0.87% 2/16 | 1,424,032 | 1,428,171 | ||||||||
Nissan | 12-A A3 ABS 0.73% 5/16 | 93,177 | 93,337 | ||||||||
Narot | 2012-A A4 1% 7/18 | 193,000 | 194,227 | ||||||||
Nalt | 2012-B A2A 0.45% 6/15 | 110,748 | 110,736 | ||||||||
Nalt | 2012-B A4 0.74% 9/18 | 240,000 | 240,208 | ||||||||
Nalt | 2013-A A3 .61% 04/16 | 930,000 | 929,874 | ||||||||
Narot | 2013-B A2 .52% 04/16 | 2,100,000 | 2,101,039 | ||||||||
Narot | 2013-B A3 0.84% 11/17 | 685,000 | 686,744 | ||||||||
Noble Enrgy Inc | 4.15% 12/15/21 | 1,605,000 | 1,648,056 | ||||||||
Noble Hldg Intl | 2.5% 3/15/17 | 325,000 | 325,913 | ||||||||
Nomura Hldngs Inc | 2.0% 9/13/16 | 650,000 | 655,327 | ||||||||
Ndass | 3.125 03/17 SNR | 4,480,000 | 4,684,266 | ||||||||
Nordea Bk Ag | .875% 5/16 144A | 690,000 | 686,524 | ||||||||
Norfolks South | 3.25% 12/01/21 | 20,000 | 19,352 | ||||||||
Novartis Cap Co | 2.9% 4/24/15 | 1,040,000 | 1,074,670 | ||||||||
Novartis Cap Crp | 2.4% 9/21/22 | 715,000 | 654,493 | ||||||||
Oneok Partners Lp | 2% 10/01/17 | 1,310,000 | 1,303,058 | ||||||||
Oneok Partners | 3.375% 10/01/22 | 1,145,000 | 1,068,725 | ||||||||
Oneok Partners | 3.2% 09/15/18 | 535,000 | 546,774 | ||||||||
Ontario Prov | 1.875% 9/15/15 | 2,600,000 | 2,662,769 | ||||||||
Oracle Corp | 5.25% 1/15/16 | 157,000 | 171,373 | ||||||||
PNC Funding Corp | 5.25 11/15/15 | 69,000 | 74,096 | ||||||||
PNC Funding Corp | 5.625 2/1/17 | 20,000 | 22,193 | ||||||||
PNC Fund Corp | 4.375% 8/11/20 | 1,200,000 | 1,281,383 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
PNC Bk Na | 6.875% 4/01/18 | 250,000 | 295,458 | ||||||||
PNC Bk Na Pitts | 2.95% 01/30/23 | 1,040,000 | 955,592 | ||||||||
PNC Financial | 3.8% 7/25/23 | 460,000 | 445,401 | ||||||||
PNC Bk Na | 1.3% 10/3/16 | 450,000 | 452,390 | ||||||||
PNC Bank Na | 1.15% 11/01/16 | 450,000 | 450,518 | ||||||||
PPL Cap Fd Inc | 3.5% 12/01/22 | 405,000 | 381,895 | ||||||||
PSEG Pwr LLC | 2.75% 9/15/16 | 315,000 | 326,164 | ||||||||
Penske Trk Ls | 3.125% 5/15 144A | 570,000 | 586,234 | ||||||||
Penske Truck Ls | 2.5% 7/14 144A | 225,000 | 226,831 | ||||||||
Penske Truck | 2.5% 3/15/16 144A | 1,060,000 | 1,085,925 | ||||||||
People'S United | 3.65% 12/06/22 | 995,000 | 939,235 | ||||||||
Philip Morris | 1.125% 8/21/17 | 210,000 | 205,779 | ||||||||
Philip Mors Int | 2.5% 8/22/22 | 1,045,000 | 951,087 | ||||||||
Philip Mors Int | 1.875% 1/15/19 | 450,000 | 439,522 | ||||||||
Phillips | 66 2.95% 5/1/17 | 2,255,000 | 2,345,220 | ||||||||
PT Holdings Co Inc (Unlist) | 525 | — | |||||||||
Praxair Inc Mtn | 4.375% 3/31/14 | 52,000 | 52,501 | ||||||||
Pricoa Glbl F | 1.6% 5/18 144A | 460,000 | 445,682 | ||||||||
Principal Fin | 3.3% 9/15/22 | 460,000 | 437,290 | ||||||||
Procter & Gamble | 1.8% 11/15/15 | 670,000 | 685,482 | ||||||||
Procter & Gamble | 1.6% 11/15/18 | 834,000 | 820,589 | ||||||||
Progress Energy | 6.05% 3/15/14 | 2,247,000 | 2,272,002 | ||||||||
Pub Svc Oklahoma | 5.15 12/1/19 | 27,000 | 29,895 | ||||||||
Rabobank Ndl | 1.7% 3/19/18 | 950,000 | 937,802 | ||||||||
Realty Inc Corp | 5.5% 11/15/15 | 1,000,000 | 1,079,437 | ||||||||
RFCO Sp | 10/15/20 | 630,000 | 517,910 | ||||||||
Reynolds Amern | 6.75% 6/15/17 | 1,000,000 | 1,144,248 | ||||||||
Rio Tinto Fin USA Ltd | 2.5% 5/16 | 2,115,000 | 2,180,977 | ||||||||
Rio Tinto Fin | 1.625% 8/21/17 | 430,000 | 429,655 | ||||||||
Rio Tinto Fin | 1.375% 06/17/16 | 732,000 | 743,400 | ||||||||
Roper Industries | 1.85% 11/15/17 | 650,000 | 644,045 | ||||||||
Roper Industries | 2.05% 10/1/18 | 609,000 | 591,534 | ||||||||
Royal Bk Cda Gmtn | 2.625% 12/15 | 1,000,000 | 1,036,744 | ||||||||
Royal Bk Cda | 2.2% 7/27/18 | 500,000 | 501,780 | ||||||||
Royal Bk Cda Gl | .85% 03/08/16 | 5,495,000 | 5,487,038 | ||||||||
Royal Bk Cda Gbl | .8% 10/30/15 | 497,000 | 498,225 | ||||||||
Royal Bk Cda Gl | 1.5% 01/14/18 | 860,000 | 842,824 | ||||||||
Royal Bk Canada | 2.3% 7/20/16 | 159,000 | 164,360 | ||||||||
Royal Bk Canada | 1.45% 10/30/14 | 2,265,000 | 2,286,237 | ||||||||
Royal Bk Scotlnd | 2.55% 9/18/15 | 1,552,000 | 1,587,319 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Royal Bank Can | 1.45% 09/09/16 | 363,000 | 368,114 | ||||||||
RBS | 4.875% 3/16/15 | 1,000,000 | 1,045,591 | ||||||||
Royal Bank Cana | 1.2% 9/19/2017 | 177,000 | 175,360 | ||||||||
SLMA | 04-6 A5 .4731% 4/20 | 47,650 | 47,521 | ||||||||
SLMA | 08-1 A2 @LIBUS3+35 10/16 | 101,664 | 101,652 | ||||||||
SLMA | 2007-6 A2 3ML+25 1/19 | 573,384 | 573,773 | ||||||||
SLCLT | 08-2 A2 @LIBUS3+45 6/17 | 101,519 | 101,598 | ||||||||
SLMA | 8/6/2002 | 182,170 | 182,581 | ||||||||
SLMA | 2012-7 A2 1ML+28 9/19 | 861,000 | 858,046 | ||||||||
SLMA | 2013-1 A2 1ML+25 9/19 | 1,180,000 | 1,172,630 | ||||||||
Sabmiller Hl | 2.45% 1/15/17 144 | 900,000 | 921,277 | ||||||||
Sabmiller Hldg | 2.2 8/1/18 144A | 450,000 | 449,069 | ||||||||
San Diego G&E | 3% 8/15/21 | 500,000 | 492,070 | ||||||||
Schlumberger | 1.95% 9/16 144A | 1,050,000 | 1,067,542 | ||||||||
Shell Intl Fin | 4% 3/21/14 | 465,000 | 468,690 | ||||||||
Shell Intl Fin | .9% 11/15/16 | 850,000 | 849,826 | ||||||||
Sherwin William | 1.35% 12/15/17 | 430,000 | 418,511 | ||||||||
Siemens Fin | 5.75% 10/17/16 144 | 200,000 | 225,361 | ||||||||
Simon Property | 5.625% 8/15/14 | 63,000 | 64,492 | ||||||||
Simon Property | 6.1% 5/01/16 | 31,000 | 34,231 | ||||||||
Simon Property | 6.125% 5/30/18 | 130,000 | 150,447 | ||||||||
Simon Property | 6.75% 5/15/14 | 1,725,000 | 1,737,084 | ||||||||
Simon Property | 2.8% 1/30/17 | 236,000 | 244,020 | ||||||||
Simon Property | 2.15% 9/15/17 | 750,000 | 760,060 | ||||||||
Simon Property | 3.375% 3/15/22 | 170,000 | 165,455 | ||||||||
Skandinaviska | 2.375 11/18 144A | 3,505,000 | 3,513,371 | ||||||||
Southern Cal Ed | 4.15 9/15/14 | 24,000 | 24,628 | ||||||||
Southern Co | 4.15% 5/14 | 47,000 | 47,627 | ||||||||
Southwstrn Bell | 7% 7/01/15 | 140,000 | 152,421 | ||||||||
Stryker Corp | 2% 9/30/16 | 1,085,000 | 1,114,645 | ||||||||
Sumitomo Mitsui Bkg | 3% 1/18/23 | 1,385,000 | 1,283,129 | ||||||||
Suntrust | 2.35% 11/01/18 | 2,080,000 | 2,067,896 | ||||||||
Svenska Ha Ab P | 3.125% 7/12/16 | 1,080,000 | 1,129,506 | ||||||||
Svenska Ha Ab P | 2.875% 4/04/17 | 2,445,000 | 2,545,947 | ||||||||
Sweden Kingdm | 10/25/2014 | 2,500,000 | 2,493,667 | ||||||||
Swedbank Ab | 2.125 9/29/17 144A | 2,795,000 | 2,794,693 | ||||||||
Swiss Re Tres | 2.875% 12/22 144A | 580,000 | 533,216 | ||||||||
Thermo Fisher | 2.4% 02/01/19 | 751,000 | 743,600 | ||||||||
Thomson Corp | .875% 5/23/16 | 226,000 | 224,395 | ||||||||
Thomson Reuter Crp | 1.3 2/23/17 | 154,000 | 153,308 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Time Warner Inc | 3.15% 7/15/15 | 1,337,000 | 1,385,121 | ||||||||
Time Warner Inc | 4.75% 3/29/21 | 490,000 | 521,864 | ||||||||
Time Warnr Inc | 4% 1/15/22 | 715,000 | 723,018 | ||||||||
Time Warner Cab | 5.85% 5/1/17W/I | 741,000 | 807,923 | ||||||||
Time Warner Cab | 8.75% 2/14/19 | 1,600,000 | 1,907,616 | ||||||||
Toronto Dom Bk | 2.5% 7/14/16 | 3,055,000 | 3,168,661 | ||||||||
Toronto Domini | 2.375% 10/19/16 | 1,735,000 | 1,801,194 | ||||||||
Toronto Dom | 1.4% 4/30/18 | 1,160,000 | 1,128,105 | ||||||||
Toronto Domini | 2.625% 09/10/18 | 1,930,000 | 1,967,367 | ||||||||
Total Cap | 3% 6/24/15 | 6,755,000 | 6,996,910 | ||||||||
Total Cap | 2.3% 3/15/16 | 55,000 | 56,664 | ||||||||
Total Capital Sa | 4.125% 1/28/21 | 1,150,000 | 1,214,843 | ||||||||
Total Cap Cda L | 1.45% 01/15/18 | 451,000 | 445,662 | ||||||||
Total Capital Sa | 1.5% 2/17/17 | 546,000 | 546,953 | ||||||||
Total Cap Intl | 2.875% 2/17/22 | 44,000 | 41,781 | ||||||||
Total Cap Intl | 1.55% 6/28/17 | 1,670,000 | 1,669,706 | ||||||||
Toyota Mtr Cr | 2.05% 1/12/17 | 99,000 | 101,143 | ||||||||
Toyota Motor Crd | 1.25% 10/5/17 | 640,000 | 628,008 | ||||||||
Taot 2011-B A3 | 0.68% 6/15/15 | 2,706,915 | 2,709,882 | ||||||||
TAOT | 2013-A A3 .55% 01/17 | 520,000 | 519,930 | ||||||||
Toyota Motor Cr | 2% 10/24/18 | 2,450,000 | 2,447,996 | ||||||||
TAOT | 2013-B A3 1.15% 07/17 | 4,200,000 | 4,216,860 | ||||||||
Travelers Cos Inc | 5.8% 5/15/18 | 35,000 | 40,300 | ||||||||
Tyco Electric Grp | 1.6% 2/03/15 | 233,000 | 235,293 | ||||||||
Tyco Electr Gr | 2.375% 12/17/18 | 93,000 | 91,657 | ||||||||
Udr Inc Mtn | 5.5% 4/1/14 | 460,000 | 465,100 | ||||||||
Ubsbb | 2012-C2 A1 1.006% 5/63 | 312,354 | 313,188 | ||||||||
Ubscm | 2012-C1 A1 1.032% 5/45 | 190,041 | 190,806 | ||||||||
Ubscm | 2012-C1 A2 2.180% 5/45 | 360,000 | 366,390 | ||||||||
Ubsbb | 2012-C4 A1 .6728% 12/45 | 227,677 | 226,669 | ||||||||
USAA Capital | 1.05% 9/14 144A | 507,000 | 509,281 | ||||||||
Ubsbb | 2013-C6 A1 .805% 4/46 | 268,088 | 265,794 | ||||||||
Union Bk Na | 3% 6/6/16 | 500,000 | 522,826 | ||||||||
Union Bank | 1.5% 9/26/16 | 305,000 | 308,436 | ||||||||
Union Bk Na Sa | 2.625% 09/26/18 | 1,555,000 | 1,582,119 | ||||||||
Union Pacific | 4.875% 1/15/15 | 117,000 | 122,214 | ||||||||
Union Pac Corp | 5.65 5/1/17 | 18,000 | 20,223 | ||||||||
UAL Pass Thru Etc | 9.75% 1/17 | 197,662 | 227,312 | ||||||||
United Parcel S | 5.125% 4/1/19 | 2,100,000 | 2,387,253 | ||||||||
US Bancorp Mtn | 4.2% 5/15/14 | 990,000 | 1,003,945 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
US Bancorp Mtn | 1.95% 11/15/18 | 460,000 | 457,289 | ||||||||
US Bancorp Med | 2.95% 7/15/22 | 775,000 | 718,978 | ||||||||
Vende | 1994-1 2ZB 6.5% 2/24 | 425,203 | 467,356 | ||||||||
US T-bills | 0% 01/23/14 | 145,000 | 144,999 | ||||||||
Ustprin | 0% 05/15/43 | 1,570,000 | 458,303 | ||||||||
USTB | 8.875% 8/15/17 | 197,000 | 251,313 | ||||||||
USTN TII | 0.625% 02/15/2043 | 525,000 | 409,948 | ||||||||
USTB | 3.625% 08/15/43 | 7,950,000 | 7,476,729 | ||||||||
USTB | 3.75% 11/15/43 | 775,000 | 746,058 | ||||||||
USTN | .25% 11/30/15 | 19,315,000 | 19,276,525 | ||||||||
USTN | 1.25% 11/30/18 | 2,620,000 | 2,562,483 | ||||||||
UST Notes | 0.625% 12/15/16 | 6,059,000 | 6,033,910 | ||||||||
USTN | 1.5% 12/31/18 | 36,656,000 | 36,223,569 | ||||||||
USTN | 2.375% 12/31/20 | 14,375,000 | 14,300,883 | ||||||||
USTN | 4.5% 5/15/17 | 10,755,000 | 12,001,064 | ||||||||
USTN | 4.25% 11/15/17 | 14,655,000 | 16,311,704 | ||||||||
USTN | 3.5% 2/15/18 | 10,260,000 | 11,132,900 | ||||||||
USTN | 3.125% 10/31/16 | 13,550,000 | 14,457,213 | ||||||||
USTN | 3.25% 12/31/16 | 740,000 | 793,650 | ||||||||
USTN | 3.125% 4/30/17 | 20,070,000 | 21,482,747 | ||||||||
USTN | 2.5 6/30/17 | 25,575,000 | 26,831,781 | ||||||||
USTN | 1.25% 9/30/15 | 22,341,000 | 22,703,170 | ||||||||
USTN | 2.125% 12/31/15 | 1,000 | 1,034 | ||||||||
USTN | 1.5% 6/30/16 | 4,055,000 | 4,148,456 | ||||||||
USTN | 1% 8/31/16 | 14,500,000 | 14,634,807 | ||||||||
USTN | 1.375% 9/30/18 | 309,000 | 305,041 | ||||||||
USTN | 1% 9/30/16 | 30,047,000 | 30,302,880 | ||||||||
USTN | .875% 11/30/16 | 28,731,000 | 28,820,784 | ||||||||
USTN | .875% 12/31/16 | 5,525,000 | 5,537,089 | ||||||||
USTN | .875% 1/31/17 | 28,971,000 | 28,998,175 | ||||||||
USTN | 1% 3/31/17 | 850,000 | 851,860 | ||||||||
USTN | .875% 4/30/17 | 40,432,000 | 40,305,650 | ||||||||
USTN | 0.375% 6/15/15 | 20,745,000 | 20,787,942 | ||||||||
USTN | .750% 6/30/17 | 3,065,000 | 3,032,434 | ||||||||
USTN | .5% 7/31/17 | 32,860,000 | 32,159,162 | ||||||||
USTN | .875% 7/31/19 | 17,580,000 | 16,541,690 | ||||||||
USTN | .625% 8/31/17 | 4,795,000 | 4,704,720 | ||||||||
USTN | .25% 9/15/15 | 22,675,000 | 22,655,522 | ||||||||
USTN | .625% 9/30/17 | 9,075,000 | 8,884,280 | ||||||||
USTN | .25% 10/15/15 | 7,000,000 | 6,990,704 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
USTN | .375% 11/15/15 | 325,000 | 325,203 | ||||||||
USTN | .75% 12/31/17 | 8,450,000 | 8,264,166 | ||||||||
USTN | .375% 01/15/16 | 4,000,000 | 3,998,436 | ||||||||
USTN TII | .125% 04/15/18 | 7,805,000 | 8,046,436 | ||||||||
US T Note | 0.125% 04/30/15 | 50,415,000 | 50,353,947 | ||||||||
US T Note | .625% 4/30/2018 | 3,070,000 | 2,959,670 | ||||||||
USTN | .375% 06/30/15 | 18,020,000 | 18,057,301 | ||||||||
USTN | 1.375% 06/30/18 | 17,075,000 | 16,940,261 | ||||||||
USTN TII | .375% 07/15/23 | 1,820,000 | 1,760,766 | ||||||||
USTN | .25% 07/31/15 | 5,525,000 | 5,524,569 | ||||||||
USTN | 1.375% 07/31/18 | 485,000 | 480,415 | ||||||||
USTN | .625% 08/15/16 | 11,760,000 | 11,760,917 | ||||||||
USTN | .375% 08/31/15 | 7,075,000 | 7,085,499 | ||||||||
USTN Notes | .875% 09/15/16 | 1,235,000 | 1,242,333 | ||||||||
UST Notes | 0.25% 09/30/2015 | 35,390,000 | 35,356,804 | ||||||||
USTN | .625% 10/15/16 | 10,620,000 | 10,600,088 | ||||||||
UST Notes | 0.25% 10/31/15 | 51,549,000 | 51,476,522 | ||||||||
UST Notes | 1.25% 10/31/18 | 6,561,000 | 6,428,245 | ||||||||
USTN | 2.75% 11/15/23 | 950,000 | 927,734 | ||||||||
USTN | .625% 11/15/16 | 5,880,000 | 5,861,625 | ||||||||
USTCOUP | 5/15/16 | 2,808,000 | 2,771,757 | ||||||||
USTCOUP | 8/15/2016 | 1,265,000 | 1,243,677 | ||||||||
USTCOUP | 11/15/16 | 3,300,000 | 3,228,489 | ||||||||
USTCOUP | 8/15/17 | 360,000 | 344,923 | ||||||||
USTCOUP | 11/15/17 | 675,000 | 641,711 | ||||||||
US Trsy Strip | 0% 5/15/18 | 900,000 | 840,746 | ||||||||
United Tech Corp | 3.1% 6/01/22 | 1,935,000 | 1,889,162 | ||||||||
Unitedhealth Inc Mtn | 4.7% 2/21 | 2,150,000 | 2,342,836 | ||||||||
Unitedhealth Grp | 1.875% 11/16 | 339,000 | 346,033 | ||||||||
Unitedhealth Grp | .85% 10/15/15 | 124,000 | 124,496 | ||||||||
Unitedhealth Grp | 1.4% 10/15/17 | 88,000 | 86,852 | ||||||||
Ventas Rlty Lp/Cap | 2% 2/15/18 | 2,635,000 | 2,589,043 | ||||||||
Ventas Rlty | 1.55% 09/26/16 | 195,000 | 196,369 | ||||||||
Verizon Comm Inc | 4.6% 4/01/21 | 1,000,000 | 1,054,973 | ||||||||
Verizon Com | 2% 11/1/16 | 920,000 | 938,662 | ||||||||
Verizon Comm | 1.1% 11/01/17 | 430,000 | 418,169 | ||||||||
Verizon Com | 3.65% 09/14/18 | 1,970,000 | 2,084,329 | ||||||||
Verizon Comm | 5.15% 09/15/23 | 8,360,000 | 8,961,928 | ||||||||
Viacom Inc New | 2.5% 12/15/16 | 1,970,000 | 2,037,197 | ||||||||
Viacom Inc New | 3.875% 12/15/21 | 15,000 | 14,887 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Viacom Inc | 2.5% 09/01/18 | 350,000 | 352,643 | ||||||||
Virginia El&Pwr | 2.95% 1/15/22 | 340,000 | 328,012 | ||||||||
Vodafone Grp Plc | 4.15% 6/10/14 | 540,000 | 548,612 | ||||||||
Vodafone Grp Plc | 1.25% 9/26/17 | 710,000 | 693,508 | ||||||||
Vodafone Grup Plc | 1.5% 2/19/18 | 470,000 | 458,033 | ||||||||
VW Intl Fin Nv | 1.625% 3/15 144A | 880,000 | 889,930 | ||||||||
Volkswagen | 2.375% 3/22/17 144A | 410,000 | 420,623 | ||||||||
Volkswagen | 1.6% 11/20/17 144A | 3,525,000 | 3,479,383 | ||||||||
Volkswagen | 2.125% 11/18 144A | 600,000 | 592,500 | ||||||||
Valet | 2012-2 A2 0.57% 7/15 | 134,924 | 134,924 | ||||||||
Valet | 2013-1 A3 .56% 8/17 | 710,000 | 709,091 | ||||||||
VWALT | 2013-A A3 0.84% 07/16 | 590,000 | 592,412 | ||||||||
Valet | 2013-2 A3 0.7% 04/18 | 910,000 | 908,284 | ||||||||
WFRBS | 13-C14 A1 .836% 6/15/46 | 195,997 | 193,954 | ||||||||
WFRBS | 2013-C14 A2 2.133% 6/46 | 190,000 | 189,532 | ||||||||
WFRBS | 2011-C5 A1 1.456% 11/44 | 88,747 | 89,322 | ||||||||
WFRBS | 2012-C6 A1 1.081% 4/45 | 105,736 | 105,936 | ||||||||
WFRBS | 2012-C8 A1 .864% 8/45 | 198,305 | 197,226 | ||||||||
WFRBS | 2012-C8 A2 1.881% 8/45 | 400,000 | 400,004 | ||||||||
WFRBS | 2013-C11 A1 .799% 03/45 | 123,550 | 122,512 | ||||||||
WFRBS | 13-C13 A1 0.778% 5/45 | 191,770 | 189,962 | ||||||||
WBCMT | 05-C21 A4 5.274% 10/44 | 2,975,287 | 3,153,718 | ||||||||
WBCMT | 2004-C11 A5 5.215 1/41 | 137,499 | 137,571 | ||||||||
WBCMT | 2006-C23 A4 5.418% 1/45 | 2,146,650 | 2,288,267 | ||||||||
WBCMT | 06-C23 A1A CSTR 1/45 | 764,300 | 823,161 | ||||||||
WBCMT | 2006-C23 A5 CSTR 1/45 | 760,000 | 818,697 | ||||||||
WBCMT | 06-C24 A1A CSTR 3/45 | 457,241 | 494,160 | ||||||||
Wachovia Bk Na Bn | 6% 11/15/17 | 300,000 | 346,030 | ||||||||
WBCMT | 2006-C25 A4 CSTR 5/43 | 2,597,000 | 2,801,773 | ||||||||
WBCMT | 2006-C25 A5 CSTR 5/43 | 1,875,000 | 2,050,028 | ||||||||
WBCMT | 2006-C25 A1A CSTR 5/43 | 2,748,571 | 3,006,368 | ||||||||
Wachovia Corp Mtn | 5.75% 2/1/18 | 2,000,000 | 2,305,172 | ||||||||
WBCMT | 2006-C26 A1A CSTR 6/45 | 519,889 | 569,142 | ||||||||
WBCMT | 2006-C28 A4 5.572% 10/48 | 4,000,000 | 4,377,396 | ||||||||
WBCMT | 2006-C28 A1A CSTR 10/48 | 2,993,986 | 3,261,385 | ||||||||
WBCMT | 2007-C33 A3 CSTR 2/51 | 1,364,327 | 1,381,308 | ||||||||
WBCMT | 2007-C33 APB CSTR 2/51 | 879,339 | 894,971 | ||||||||
WBCMT | 2006-C29 A1A 5.297 11/48 | 374,775 | 410,832 | ||||||||
WBCMT | 2007-C31A A2 5.421% 4/47 | 220,304 | 220,558 | ||||||||
Wachovia Corp | 4.875% 2/15/14 | 193,000 | 193,957 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Walmart | 2.875% 4/01/15 | 2,100,000 | 2,165,944 | ||||||||
Wal Mart Stores | 2.8% 4/15/16 | 1,430,000 | 1,497,658 | ||||||||
Wal-Mart Stores | 1.125% 4/18 | 1,500,000 | 1,455,053 | ||||||||
Watson Pharma Inc | 3.25% 10/1/22 | 700,000 | 651,902 | ||||||||
Weatherford Int Mtn | 5.125% 9/20 | 2,300,000 | 2,467,912 | ||||||||
Wellpoint Inc | 1.25% 9/10/15 | 124,000 | 124,862 | ||||||||
Wellpoint Inc | 3.3% 1/15/23 | 535,000 | 498,484 | ||||||||
Wellpoint Inc | 1.875% 1/15/18 | 226,000 | 223,372 | ||||||||
Wellpoint Inc | 2.3% 07/15/18 | 327,000 | 324,244 | ||||||||
Wells Fargo&Com | 3.676% 6/15/16 | 1,500,000 | 1,597,016 | ||||||||
Wells Fargo | 1.5% 01/18 | 930,000 | 923,576 | ||||||||
Wells Fargo Co | 4.125% 8/15/23 | 2,165,000 | 2,130,925 | ||||||||
Wells Fargo & Co | 2.15% 1/15/19 | 1,050,000 | 1,046,137 | ||||||||
Wells Fargo Bk Glb | 4.75 2/9/15 | 315,000 | 329,153 | ||||||||
WFCM | 2013-LC12 A1 1.676% 7/46 | 744,778 | 745,325 | ||||||||
Western Gas Part | 4% 7/01/22 | 395,000 | 376,448 | ||||||||
Western Union Co | 2.875 12/17 | 467,000 | 473,913 | ||||||||
Westpac Banking | 4.2% 2/27/15 | 1,070,000 | 1,115,540 | ||||||||
Westpac Bankig Corp | 3% 12/9/15 | 31,000 | 32,329 | ||||||||
Westpac Banking Crp | 2% 8/14/17 | 772,000 | 776,299 | ||||||||
Wrapper | WRAPPER | — | 173,603 | ||||||||
WPACBKG | 1.6% 1/12/18 | 1,000,000 | 984,691 | ||||||||
Westpac Banking | 3ML+74 7/30/18 | 2,985,000 | 2,999,740 | ||||||||
Williams Partnr | 5.25% 3/15/20 | 1,450,000 | 1,583,806 | ||||||||
WOART | 2012-A A3 0.64% 2/17 | 560,000 | 560,787 | ||||||||
WOART | 2012-B A2 0.43% 11/15 | 123,251 | 123,284 | ||||||||
Wols | 2012-A A3 0.93% 11/15 | 290,000 | 290,706 | ||||||||
WOART | 2013-A A3 .64% 4/16/18 | 400,000 | 399,584 | ||||||||
Wols | 2013-A A3 1.10% 12/16 | 840,000 | 842,986 | ||||||||
WOART | 2013-B A3 .83% 08/18 | 4,300,000 | 4,294,560 | ||||||||
Wrigley (Wm.) J | 2 10/17 144A | 340,000 | 338,913 | ||||||||
Wyndham Worldwide Mtn | 4.25% 3/22 | 1,000,000 | 974,609 | ||||||||
Wyndham Worldwide | 2.5% 3/18 | 390,000 | 388,500 | ||||||||
Xerox Corp | 3ML+82 5/16/14 | 775,000 | 775,641 | ||||||||
Xerox Corp | 2.95% 3/15/17 | 270,000 | 277,082 | ||||||||
Xerox Corp | 2.75% 03/15/19 | 554,000 | 548,762 | ||||||||
Xstrata Can Crp | 2.85% 11/14 144 | 965,000 | 978,369 | ||||||||
Xstrata Can Fin | 3.6% 1/17 144A | 2,000,000 | 2,085,446 | ||||||||
Xstrata Fn Cda | 2.45 10/17 144A | 1,555,000 | 1,571,996 | ||||||||
Xylem Inc | 3.55% 9/20/16 | 1,175,000 | 1,234,083 |
Identity of Issue, borrower, lessor, or similar party | Description of investment including maturity date, rate of interest, collateral, par, or maturity value | Shares/Units/ Principal | Current Value | ||||||||
Xylem Inc | 4.875% 10/01/21 | 400,000 | 416,425 | ||||||||
Total Investment Contracts | 1,959,457,179 | ||||||||||
Registered Investment Companies | |||||||||||
* Fidelity Institutional Money Market – Money Market Portfolio – Institutional Class | Money Market Fund | 989,015,929 | 989,015,929 | ||||||||
* Fidelity Prime Money Market | Money Market Fund | 34,111,343 | 34,111,343 | ||||||||
Janus Balanced N Fund | Equity Based Fund | 47,694,640 | 1,429,408,350 | ||||||||
OPP DEVELOPING MKTS I | Equity Based Fund | 3,554,660 | 133,548,582 | ||||||||
Pimco Total Return Institutional Fund | Fixed Income Based Fund | 51,587,180 | 551,466,949 | ||||||||
* SPTN INT TR IDX ADV | Fixed Income Based Fund | 12,104,743 | 127,826,081 | ||||||||
T. Rowe Price Institutional Small-Cap Stock Fund | Equity Based Fund | 29,143,184 | 590,440,917 | ||||||||
Vanguard Institutional Total Stock Market Index Fund Institutional Plus Shares | Equity Based Fund | 44,846,268 | 1,897,894,064 | ||||||||
Brokerage Link | Various | 431,120,130 | |||||||||
Total Registered Investment Companies | 6,184,832,345 | ||||||||||
Common Collective Trusts | |||||||||||
Harris Associates Oakmark Global Collective Fund | Equity Based Funds | 20,912,287 | 298,627,464 | ||||||||
Northern Trust Collective Aggregate Bond Index Fund - DC – Non-Lending | Fixed Income Based Funds | 5,350,264 | 555,089,875 | ||||||||
Northern Trust ACWI ex-US Fund - DC NonLending(a) | Equity Based Funds | 8,012,658 | 1,063,520,059 | ||||||||
Northern Trust Collective Russell 2000 Index Fund - DC Non-Lending | Equity Based Funds | 5,057,303 | 837,236,534 | ||||||||
Northern Trust Collective S&P 500 Index Fund - DC - Non-Lending | Equity Based Funds | 14,567,963 | 2,198,159,979 | ||||||||
Total Common Collective Trusts | 4,952,633,911 | ||||||||||
Raytheon Company Common Stock | |||||||||||
* Raytheon Company | Raytheon Common Stock | 14,945,463 | 1,355,553,494 | ||||||||
Total Raytheon Company Common Stock | 1,355,553,494 | ||||||||||
Total Investments | 14,452,476,929 | ||||||||||
* Participant Loans | 3.25% - 10.00% | 238,572,568 | |||||||||
Adjustment from fair value to contract value for interest in fully benefit-responsive investment contracts | (51,326,695 | ) | |||||||||
Total Investments at Contract Value Including Participant Loans | $ | 14,639,722,802 | |||||||||
*Party in interest |
RAYTHEON SAVINGS AND INVESTMENT PLAN | ||
By: | /s/ Michael J. Wood | |
Michael J. Wood | ||
Vice President, Controller and Chief Accounting Officer | ||
Principal Accounting Officer |
23.1 | Consent of PricewaterhouseCoopers LLP, Independent Registered Public Accounting Firm. | ||