UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
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(Mark One)
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|
x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |
For the fiscal year ended December 31, 2012
|
|
OR
|
|
o TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |
For the transition period from ____________ to ____________
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|
Commission File Number: 1-4423
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|
A. | Full title of the plan and address of the plan, if different from that of the issuer named below: |
HEWLETT-PACKARD COMPANY 401(k) PLAN
|
|
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
HEWLETT-PACKARD COMPANY
3000 HANOVER STREET
PALO ALTO, CALIFORNIA 94304
|
Report of Independent Registered Public Accounting Firm | 1 | |
Audited Financial Statements: | ||
Statements of Net Assets Available for Benefits | 3 | |
Statement of Changes in Net Assets Available for Benefits | 4 | |
Notes to Financial Statements | 5 | |
Supplemental Schedule: | ||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) | 24 | |
Signature | 81 | |
Exhibit Index: | ||
Exhibit 23.1 – Consent of Independent Registered Public Accounting Firm | 82 |
Hewlett-Packard Company 401(k) Plan
|
||||||||
Statements of Net Assets Available for Benefits
|
||||||||
December 31
|
||||||||
2012
|
2011
|
|||||||
Assets
|
||||||||
Cash
|
$ | 1,331,574 | $ | 363,201 | ||||
Investments, at fair value
|
14,380,302,112 | 13,717,114,451 | ||||||
Receivables:
|
||||||||
Notes receivable from participants
|
231,305,214 | 224,531,689 | ||||||
Company contribution
|
33,307,290 | 41,048,166 | ||||||
Amount due from brokers for securities sold
|
52,601,724 | 181,590,682 | ||||||
Forward foreign currency contracts and other derivative assets
|
1,242,428 | 3,838,763 | ||||||
Interest, dividends, and other receivables
|
24,687,770 | 26,300,916 | ||||||
Total receivables
|
343,144,426 | 477,310,216 | ||||||
Total assets
|
14,724,778,112 | 14,194,787,868 | ||||||
|
||||||||
Liabilities
|
||||||||
Amount due to brokers for securities purchased
|
102,852,757 | 193,332,110 | ||||||
Forward foreign currency contracts and other derivative payables
|
3,433,935 | 2,966,781 | ||||||
Administrative expenses and other payables
|
8,642,165 | 9,533,391 | ||||||
Total liabilities
|
114,928,857 | 205,832,282 | ||||||
Net assets available for benefits
|
$ | 14,609,849,255 | $ | 13,988,955,586 | ||||
|
||||||||
See accompanying notes.
|
Hewlett-Packard Company 401(k) Plan
|
||||
Statement of Changes in Net Assets Available for Benefits
|
||||
Year Ended December 31, 2012
|
||||
Additions
|
||||
Investment income:
|
||||
Interest and dividends
|
$ | 289,309,105 | ||
Net realized and unrealized appreciation in fair value of investments
|
1,290,429,711 | |||
|
1,579,738,816 | |||
Contributions:
|
||||
Participants
|
657,671,458 | |||
Company
|
254,847,156 | |||
Rollover
|
99,485,501 | |||
Total contributions
|
1,012,004,115 | |||
Interest income on notes receivable from participants
|
10,102,280 | |||
Participant loans transferred in from other plan
|
20,617 | |||
Total additions
|
2,601,865,828 | |||
|
||||
Deductions
|
||||
Benefits paid directly to participants
|
1,945,766,599 | |||
Investment management fees
|
27,302,638 | |||
Administrative expenses and fees
|
7,902,922 | |||
Total deductions
|
1,980,972,159 | |||
|
||||
Net increase
|
620,893,669 | |||
|
||||
Net assets available for benefits:
|
||||
Beginning of year
|
13,988,955,586 | |||
End of year
|
$ | 14,609,849,255 | ||
|
||||
See accompanying notes.
|
||||
December 31
|
||||||||
2012
|
2011
|
|||||||
Vanguard Primecap Adm Fund
|
$ | 791,309,708 | $ | 734,724,342 | ||||
BTC Russell 1000 Index Fund
|
1,412,553,246 | 1,293,779,452 |
Registered investment companies
|
$ | 333,152,747 | ||
Common stock
|
720,207,728 | |||
Common collective trust funds
|
452,596,373 | |||
Company common stock
|
(233,888,266 | ) | ||
Corporate debt
|
19,302,167 | |||
Derivatives | (941,038 | ) | ||
Total net realized and unrealized appreciation in fair value of investments
|
$ | 1,290,429,711 |
Fair Value Measurements as of December 31, 2012
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Assets
|
||||||||||||
Mutual funds:
|
||||||||||||
Growth funds
|
$ | 1,379,900,602 | $ | 48,860,262 | $ | 1,428,760,864 | ||||||
Fixed income funds
|
768,264,035 | 367,753,165 | 1,136,017,200 | |||||||||
Other funds
|
74,759,010 | – | 74,759,010 | |||||||||
Total mutual funds
|
2,222,923,647 | 416,613,427 | 2,639,537,074 | |||||||||
Self-directed brokerage accounts:
|
||||||||||||
Mutual funds:
|
||||||||||||
Index funds
|
21,147,249 | – | 21,147,249 | |||||||||
Growth funds
|
87,158,551 | – | 87,158,551 | |||||||||
Fixed income funds
|
128,968,357 | – | 128,968,357 | |||||||||
Value funds
|
43,701,578 | – | 43,701,578 | |||||||||
Industry specific funds
|
23,671,745 | – | 23,671,745 | |||||||||
Other funds
|
24,920,257 | – | 24,920,257 | |||||||||
Total self-directed brokerage accounts
|
329,567,737 | – | 329,567,737 | |||||||||
Common collective trusts:
|
||||||||||||
Index funds
|
– | 2,759,473,097 | 2,759,473,097 | |||||||||
Growth funds
|
– | 473,009,996 | 473,009,996 | |||||||||
Other funds
|
– | 75,235,189 | 75,235,189 | |||||||||
Total common collective trusts
|
– | 3,307,718,282 | 3,307,718,282 | |||||||||
HP common stock
|
297,897,889 | – | 297,897,889 | |||||||||
Money market funds
|
– | 1,125,693 | 1,125,693 | |||||||||
Short-term investments
|
– | 705,813,192 | 705,813,192 |
Fair Value Measurements as of December 31, 2012
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Common and preferred stocks:
|
||||||||||||
Automobiles and components
|
$ | 75,009,984 | $ | – | $ | 75,009,984 | ||||||
Banks, insurance, and other financial institutions
|
785,459,748 | – | 785,459,748 | |||||||||
Consumer and capital goods
|
1,172,166,987 | – | 1,172,166,987 | |||||||||
Health care and pharmaceuticals
|
479,998,470 | – | 479,998,470 | |||||||||
Telecommunications and media
|
261,321,241 | – | 261,321,241 | |||||||||
Technology, hardware, and software
|
854,568,757 | – | 854,568,757 | |||||||||
Energy, transportation, and other utilities
|
544,613,718 | – | 544,613,718 | |||||||||
Hospitality and real estate
|
496,205,848 | – | 496,205,848 | |||||||||
Total common and preferred stocks
|
4,669,344,753 | – | 4,669,344,753 | |||||||||
Corporate debt:
|
||||||||||||
Automobiles and components
|
– | 2,286,000 | 2,286,000 | |||||||||
Banks, insurance, and other financial institutions
|
– | 436,776,306 | 436,776,306 | |||||||||
Consumer and capital goods
|
– | 82,536,893 | 82,536,893 | |||||||||
Health care, pharmaceuticals, and biotechnology
|
– | 43,291,374 | 43,291,374 | |||||||||
Technology, hardware, and equipment
|
– | 23,270,041 | 23,279,041 | |||||||||
Telecommunications and media
|
– | 103,724,722 | 103,724,722 | |||||||||
Energy, transportation, and other utilities
|
– | 98,357,819 | 98,357,819 | |||||||||
Real estate
|
– | 9,006,826 | 9,006,826 | |||||||||
Total corporate debt
|
– | 799,249,981 | 799,249,981 | |||||||||
Foreign obligations
|
– | 26,957,038 | 26,957,038 | |||||||||
U.S. government securities:
|
||||||||||||
Federal
|
– | 1,518,758,402 | 1,518,758,402 | |||||||||
State
|
– | 73,158,545 | 73,158,545 | |||||||||
Municipal
|
– | 11,173,526 | 11,173,526 | |||||||||
Total U.S. government securities
|
– | 1,603,090,473 | 1,603,090,473 | |||||||||
Total investments
|
7,519,734,026 | 6,860,568,086 | 14,380,302,112 | |||||||||
Derivative assets
|
90,185 | 1,152,243 | 1,242,428 | |||||||||
Amount due from brokers for securities sold
|
52,601,724 | – | 52,601,724 | |||||||||
Total assets measured at fair value
|
$ | 7,572,425,935 | $ | 6,861,720,329 | $ | 14,434,146,264 | ||||||
Liabilities
|
||||||||||||
Derivative liabilities
|
$ | 348,539 | $ | 3,085,396 | $ | 3,433,935 | ||||||
Amount due to brokers for securities purchased
|
102,852,757 | – | 102,852,757 | |||||||||
Total liabilities measured at fair value
|
$ | 103,201,296 | $ | 3,085,396 | $ | 106,286,692 |
Fair Value Measurements as of December 31, 2011
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Assets
|
||||||||||||
Mutual funds:
|
||||||||||||
Index funds
|
$ | 4,037,335 | $ | – | $ | 4,037,335 | ||||||
Growth funds
|
1,561,225,969 | 43,087,359 | 1,604,313,328 | |||||||||
Fixed income funds
|
694,565,554 | 315,525,501 | 1,010,091,055 | |||||||||
Value funds
|
90,115,794 | – | 90,115,794 | |||||||||
Other funds
|
73,652,259 | – | 73,652,259 | |||||||||
Total mutual funds
|
2,423,596,911 | 358,612,860 | 2,782,209,771 | |||||||||
Self-directed brokerage accounts:
|
||||||||||||
Mutual funds:
|
||||||||||||
Index funds
|
14,131,187 | – | 14,131,187 | |||||||||
Growth funds
|
52,936,202 | – | 52,936,202 | |||||||||
Fixed income funds
|
111,096,467 | – | 111,096,467 | |||||||||
Value funds
|
31,617,985 | – | 31,617,985 | |||||||||
Industry specific funds
|
19,622,355 | – | 19,622,355 | |||||||||
Other funds
|
47,332,821 | – | 47,332,821 | |||||||||
Total self-directed brokerage accounts
|
276,737,017 | – | 276,737,017 | |||||||||
Common collective trusts:
|
||||||||||||
Index funds
|
– | 2,573,846,644 | 2,573,846,644 | |||||||||
Growth funds
|
– | 443,295,485 | 443,295,485 | |||||||||
Other funds
|
– | 74,121,551 | 74,121,551 | |||||||||
Total common collective trusts
|
– | 3,091,263,680 | 3,091,263,680 | |||||||||
HP common stock
|
561,318,720 | – | 561,318,720 | |||||||||
Money market funds
|
– | 2,832,925 | 2,832,925 | |||||||||
Short-term investments
|
– | 540,119,388 | 540,119,388 | |||||||||
Common and preferred stocks:
|
||||||||||||
Automobiles and components
|
70,078,762 | – | 70,078,762 | |||||||||
Banks, insurance, and other financial institutions
|
503,978,935 | – | 503,978,935 | |||||||||
Consumer and capital goods
|
1,105,414,978 | – | 1,105,414,978 | |||||||||
Health care and pharmaceuticals
|
493,487,118 | – | 493,487,118 | |||||||||
Telecommunications and media
|
275,480,193 | – | 275,480,193 | |||||||||
Technology, hardware, and software
|
691,509,800 | – | 691,509,800 | |||||||||
Energy, transportation, and other utilities
|
577,148,726 | – | 577,148,726 | |||||||||
Hospitality and real estate
|
387,641,789 | – | 387,641,789 | |||||||||
Total common and preferred stocks
|
4,104,740,301 | – | 4,104,740,301 |
Fair Value Measurements as of December 31, 2011
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Corporate debt:
|
||||||||||||
Banks, insurance, and other financial institutions
|
$ | – | $ | 439,499,649 | $ | 439,499,649 | ||||||
Consumer and capital goods
|
– | 66,580,081 | 66,580,081 | |||||||||
Health care, pharmaceuticals, and biotechnology
|
– | 43,358,762 | 43,358,762 | |||||||||
Technology, hardware, and equipment
|
– | 22,701,563 | 22,701,563 | |||||||||
Telecommunications and media
|
– | 95,668,985 | 95,668,985 | |||||||||
Energy, transportation, and other utilities
|
– | 76,252,822 | 76,252,822 | |||||||||
Real estate
|
– | 9,300,387 | 9,300,387 | |||||||||
Total corporate debt
|
– | 753,362,249 | 753,362,249 | |||||||||
Foreign obligations
|
– | 41,707,043 | 41,707,043 | |||||||||
U.S. government securities:
|
||||||||||||
Federal
|
– | 1,473,360,372 | 1,473,360,372 | |||||||||
State
|
– | 28,708,484 | 28,708,484 | |||||||||
Municipal
|
– | 48,765,264 | 48,765,264 | |||||||||
Total U.S. government securities
|
– | 1,550,834,120 | 1,550,834,120 | |||||||||
Guaranteed investment contracts
|
– | 11,989,237 | 11,989,237 | |||||||||
Total investments
|
7,366,392,949 | 6,350,721,502 | 13,717,114,451 | |||||||||
Derivative assets
|
830,696 | 3,008,067 | 3,838,763 | |||||||||
Amount due from brokers for securities sold
|
181,590,682 | – | 181,590,682 | |||||||||
Total assets measured at fair value
|
$ | 7,548,814,327 | $ | 6,353,729,569 | $ | 13,902,543,896 | ||||||
Liabilities
|
||||||||||||
Derivative liabilities
|
$ | 96,226 | $ | 2,870,555 | $ | 2,966,781 | ||||||
Amount due to brokers for securities purchased
|
193,332,110 | – | 193,332,110 | |||||||||
Total liabilities measured at fair value
|
$ | 193,428,336 | $ | 2,870,555 | $ | 196,298,891 |
Based on actual earnings
|
1.27 | % | |||
Based on interest rate credited to participants
|
1.32 | % |
December 31, 2012
|
December 31, 2011
|
|||||||||||||||
Assets
|
Liabilities
|
Assets
|
Liabilities
|
|||||||||||||
Foreign currency contracts
|
$ | 1,084,896 | $ | 3,022,176 | $ | 2,735,043 | $ | 2,870,555 | ||||||||
Financial futures
|
− | 39,757 | 615,876 | – | ||||||||||||
Interest rate swaps
|
67,347 | 63,220 | 273,024 | – | ||||||||||||
Financial options
|
34,717 | 107,383 | – | 96,226 | ||||||||||||
Credit default swaps
|
55,468 | 201,399 | 214,820 | – | ||||||||||||
$ | 1,242,428 | $ | 3,433,935 | $ | 3,838,763 | $ | 2,966,781 |
December 31
|
||||||||
2012
|
2011
|
|||||||
Foreign currency contracts
|
$ | 319,816,791 | $ | 256,508,617 | ||||
Financial futures
|
2,252,257 | 153,037,262 | ||||||
Interest rate swaps
|
23,016,042 | 11,200,000 | ||||||
Financial options
|
123,200,000 | 156,500,000 | ||||||
Credit default swaps
|
24,893,000 | 10,446,000 | ||||||
$ | 493,178,090 | $ | 587,691,879 |
Forward foreign currency exchange
|
$ | (2,398,261 | ) | |
Financial futures
|
386,362 | |||
Interest rate and credit default swaps
|
136,460 | |||
Financial options
|
934,401 | |||
Total
|
$ | (941,038 | ) |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
||||||||||
Interest bearing cash
|
|||||||||||||
* |
FIDELITY INSTITUTIONAL CASH PORTFOLIO
|
1,125,693 |
USD
|
$ | 1,125,693 | ||||||||
Short-term investments
|
|||||||||||||
VANGUARD PRIME MONEY MARKET FUND
|
433,373,519 |
shares
|
433,373,519 | ||||||||||
BBH STIF FUND
|
272,439,673 |
shares
|
272,439,673 | ||||||||||
705,813,192 | |||||||||||||
Registered investment companies
|
|||||||||||||
DODGE & COX INTL STOCK FD
|
12,745,701 |
shares
|
441,511,072 | ||||||||||
HIGH YIELD PORTFOLIO INSTL CL
|
1,516,047 |
shares
|
11,870,651 | ||||||||||
HIGHBRIDGE DYNA COMM STR FD R5
|
5,336,118 |
shares
|
74,759,010 | ||||||||||
MFS INTL NEW DISCOVERY FD I
|
5,973,998 |
shares
|
147,079,822 | ||||||||||
PIMCO ASSET BACK SECS PORT (UNLISTED)
|
2,745,119 |
shares
|
31,815,926 | ||||||||||
PIMCO EMERGING MKTS FD INST CL
|
1,581,938 |
shares
|
16,974,192 | ||||||||||
PIMCO HIGH YIELD FUND
|
36,740,497 |
shares
|
354,178,395 | ||||||||||
PIMCO INTL PORT FUND (UNLISTED)
|
6,727,019 |
shares
|
31,886,070 | ||||||||||
PIMCO INV GRD CORP PORT (UNLISTED)
|
6,272,744 |
shares
|
71,007,458 | ||||||||||
PIMCO MTG PORT INSTL CL (UNLISTED)
|
11,181,191 |
shares
|
122,545,853 | ||||||||||
PIMCO MUNI SECTR PORT INSTL CL
|
756,007 |
shares
|
6,781,382 | ||||||||||
PIMCO REAL RETURN BD FD INST CL
|
5,620,355 |
shares
|
55,360,492 | ||||||||||
PIMCO REAL RETURN BD FD I CL
|
33,747,811 |
shares
|
414,085,640 | ||||||||||
PIMCO SHORT TERM PORT INSTL CL
|
1,015,953 |
shares
|
9,641,390 | ||||||||||
PIMCO US GOVT SECTOR PORT INST
|
6,254,527 |
shares
|
58,730,013 | ||||||||||
VANGUARD PRIMECAP ADMIRAL
|
10,979,738 |
shares
|
791,309,708 | ||||||||||
2,639,537,074 | |||||||||||||
Company common stock
|
|||||||||||||
* |
HEWLETT-PACKARD COMPANY
|
20,905,115 |
shares
|
297,897,889 | |||||||||
297,897,889 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock
|
||||||||||||
3M CO
|
93,800 |
shares
|
$ | 8,709,330 | ||||||||
A P MOLLER - MAERSK S/A B
|
94 |
shares
|
708,455 | |||||||||
ABB LTD (REG) (SWIT)
|
173,701 |
shares
|
3,560,809 | |||||||||
ABBOTT LABORATORIES
|
88,518 |
shares
|
5,797,929 | |||||||||
ABERTIS INFRAESTRUCTURAS SA
|
18,886 |
shares
|
309,613 | |||||||||
ABIOMED INC
|
148,268 |
shares
|
1,995,687 | |||||||||
ABOITIZ POWER CORP
|
449,100 |
shares
|
404,146 | |||||||||
ACADIA RLTY TR REIT
|
16,919 |
shares
|
424,329 | |||||||||
ACE LTD
|
36,580 |
shares
|
2,919,084 | |||||||||
ACTELION LTD (REGD)
|
27,124 |
shares
|
1,290,885 | |||||||||
ACTIVIA PROPERTIES INC
|
8 |
shares
|
50,049 | |||||||||
ADECCO SA (REGD)
|
29,149 |
shares
|
1,530,988 | |||||||||
ADIDAS AG
|
52,997 |
shares
|
4,709,962 | |||||||||
ADOBE SYSTEMS INC
|
424,480 |
shares
|
15,994,406 | |||||||||
ADT CORP
|
37,500 |
shares
|
1,743,375 | |||||||||
ADTRAN INC
|
145,000 |
shares
|
2,833,300 | |||||||||
ADVANCED INFO SERVICES
|
654,500 |
shares
|
4,468,817 | |||||||||
ADVANTEST CORP
|
23,100 |
shares
|
359,425 | |||||||||
ADVISORY BOARD CO
|
95,000 |
shares
|
4,445,050 | |||||||||
AEGON NV
|
429,019 |
shares
|
2,719,860 | |||||||||
AEGON NV (REGD)
|
668,193 |
shares
|
4,303,163 | |||||||||
AERCAP HOLDINGS NV
|
410,000 |
shares
|
5,625,200 | |||||||||
AES CORP
|
396,400 |
shares
|
4,241,480 | |||||||||
AFFILIATED MANAGERS GRP INC
|
42,010 |
shares
|
5,467,601 | |||||||||
AFLAC INC
|
49,963 |
shares
|
2,654,035 | |||||||||
AGEAS (BELG)
|
40,159 |
shares
|
1,177,570 | |||||||||
AGGREKO PLC
|
81,056 |
shares
|
2,291,083 | |||||||||
AGILE PROPERTY HOLDINGS LTD
|
665,000 |
shares
|
935,188 | |||||||||
AHOLD NV (KONINKLIJKE)
|
66,902 |
shares
|
894,994 | |||||||||
AIA GROUP LTD
|
2,335,400 |
shares
|
9,114,594 | |||||||||
AIR FRANCE KLM ADR
|
1,065,700 |
shares
|
10,305,319 | |||||||||
AIR PRODUCTS & CHEMICALS INC
|
16,440 |
shares
|
1,381,289 | |||||||||
AIRCASTLE LTD
|
323,900 |
shares
|
4,061,706 | |||||||||
AISIN SEIKI CO LTD
|
23,500 |
shares
|
722,618 | |||||||||
AIXTRON SE
|
165,705 |
shares
|
1,942,035 | |||||||||
AJINOMOTO CO INC
|
69,000 |
shares
|
910,336 | |||||||||
AKBANK TURK ANONIM SIRKETI
|
289,676 |
shares
|
1,428,935 | |||||||||
AKZO NOBEL NV
|
6,920 |
shares
|
454,374 | |||||||||
ALEXANDRIA REAL ES EQ INC REIT
|
38,170 |
shares
|
2,645,944 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
ALEXION PHARMACEUTICALS INC
|
99,895 |
shares
|
$ | 9,371,150 | ||||||||
ALFA LAVAL AB
|
240,560 |
shares
|
5,004,923 | |||||||||
ALIGN TECHNOLOGY INC
|
118,300 |
shares
|
3,282,825 | |||||||||
ALLEGIANT TRAVEL CO
|
75,251 |
shares
|
5,524,176 | |||||||||
ALLERGAN INC
|
227,903 |
shares
|
20,905,542 | |||||||||
ALLIANCE DATA SYSTEMS CORP
|
75,000 |
shares
|
10,857,000 | |||||||||
ALLSTATE CORPORATION
|
151,000 |
shares
|
6,065,670 | |||||||||
ALSTOM (NEW)
|
5,239 |
shares
|
208,390 | |||||||||
ALSTRIA OFFICE REIT-AG
|
28,586 |
shares
|
349,060 | |||||||||
ALTAREA
|
824 |
shares
|
127,254 | |||||||||
ALTERRA CAPITAL HOLDINGS LTD
|
255,100 |
shares
|
7,191,269 | |||||||||
AMADA CO LTD
|
25,000 |
shares
|
160,155 | |||||||||
AMADEUS IT HOLDING SA CL A
|
102,339 |
shares
|
2,573,319 | |||||||||
AMAZON.COM INC
|
74,223 |
shares
|
18,640,364 | |||||||||
AMDOCS LTD
|
220,000 |
shares
|
7,477,800 | |||||||||
AMEC PLC ORD
|
23,362 |
shares
|
380,643 | |||||||||
AMERICAN ELECTRIC POWER CO INC
|
96,826 |
shares
|
4,132,534 | |||||||||
AMERICAN EXPRESS CO
|
159,368 |
shares
|
9,160,473 | |||||||||
AMERICAN INTERNATIONAL GROUP
|
285,900 |
shares
|
10,092,270 | |||||||||
AMERICAN NATIONAL INSURANCE
|
47,745 |
shares
|
3,260,506 | |||||||||
AMERICAN TOWER CORP
|
191,117 |
shares
|
14,767,611 | |||||||||
AMERIPRISE FINANCIAL INC
|
85,228 |
shares
|
5,337,830 | |||||||||
AMGEN INC
|
62,900 |
shares
|
5,429,528 | |||||||||
ANADARKO PETROLEUM CORP
|
32,913 |
shares
|
2,445,765 | |||||||||
ANALOGIC CORP
|
17,469 |
shares
|
1,297,947 | |||||||||
ANHEUSER BUSCH INBEV NV
|
63,082 |
shares
|
5,473,847 | |||||||||
ANIXTER INTL INC
|
72,766 |
shares
|
4,655,569 | |||||||||
ANNIES INC
|
99,900 |
shares
|
3,339,657 | |||||||||
AOL INC
|
60,000 |
shares
|
1,776,600 | |||||||||
AON PLC
|
214,100 |
shares
|
11,903,960 | |||||||||
APACHE CORP
|
31,800 |
shares
|
2,496,300 | |||||||||
APARTMENT INV & MGMT CO A REIT
|
28,259 |
shares
|
764,689 | |||||||||
APOLLO GLOBAL MGMT LLC CL A
|
350,000 |
shares
|
6,076,000 | |||||||||
APPLE INC
|
115,693 |
shares
|
61,667,840 | |||||||||
APPLIED INDUSTRIAL TECH INC
|
82,600 |
shares
|
3,470,026 | |||||||||
APTARGROUP INC
|
55,748 |
shares
|
2,660,295 | |||||||||
ARIAD PHARMACEUTICALS INC
|
125,000 |
shares
|
2,397,500 | |||||||||
ARM HOLDINGS PLC
|
944,000 |
shares
|
11,777,133 | |||||||||
ARM HOLDINGS PLC SPON ADR
|
183,843 |
shares
|
6,954,780 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
ASAHI GLASS CO LTD
|
98,000 |
shares
|
$ | 708,120 | ||||||||
ASCENA RETAIL GROUP INC
|
192,798 |
shares
|
3,564,835 | |||||||||
ASHFORD HOSPITALITY TR INC
|
31,440 |
shares
|
330,434 | |||||||||
ASML HLDG NV (NY REG SHS)
|
8,277 |
shares
|
533,122 | |||||||||
ASML HOLDING NV (EURO)
|
18,396 |
shares
|
1,165,526 | |||||||||
ASSISTED LIVING CON CL A
|
16,148 |
shares
|
157,443 | |||||||||
ASTELLAS PHARMA INC
|
65,300 |
shares
|
2,920,731 | |||||||||
ASTRAZENECA PLC (UK)
|
27,924 |
shares
|
1,319,782 | |||||||||
ASUSTEK COMPUTER INC
|
32,000 |
shares
|
359,470 | |||||||||
AT&T INC
|
411,930 |
shares
|
13,886,160 | |||||||||
ATHENAHEALTH INC
|
21,366 |
shares
|
1,569,333 | |||||||||
ATLAS AIR WORLD
|
26,000 |
shares
|
1,152,060 | |||||||||
ATLAS COPCO AB SER A
|
638,884 |
shares
|
17,516,591 | |||||||||
ATOS
|
19,023 |
shares
|
1,327,283 | |||||||||
ATRIUM EUROPEAN REAL ESTATE LT
|
38,411 |
shares
|
225,618 | |||||||||
ATRIUM LJUNGBERG AB B
|
17,326 |
shares
|
231,790 | |||||||||
AUTOGRILL SPA
|
52,861 |
shares
|
605,986 | |||||||||
AVAGO TECHNOLOGIES LTD
|
146,895 |
shares
|
4,650,696 | |||||||||
AVALONBAY COMMUNITIES INC REIT
|
72,092 |
shares
|
9,774,954 | |||||||||
AVIS BUDGET GROUP
|
188,900 |
shares
|
3,743,998 | |||||||||
AVON PRODUCTS INC
|
181,500 |
shares
|
2,606,340 | |||||||||
AXA SA
|
336,649 |
shares
|
5,932,204 | |||||||||
AYALA CORP
|
10,710 |
shares
|
134,853 | |||||||||
BAE SYSTEMS PLC
|
415,109 |
shares
|
2,271,797 | |||||||||
BAIDU INC SPON ADR
|
260,158 |
shares
|
26,091,246 | |||||||||
BAKER HUGHES INC
|
287,000 |
shares
|
11,721,080 | |||||||||
BALLY TECHNOLOGIES INC
|
108,500 |
shares
|
4,851,035 | |||||||||
BALOISE HOLDINGS AG
|
4,069 |
shares
|
349,223 | |||||||||
BANCO BILBAO VIZ ARGENTARIA SA
|
305,821 |
shares
|
2,809,532 | |||||||||
BANCO COMMERCIAL PORTUGUESE (REG)
|
1,925,911 |
shares
|
190,658 | |||||||||
BANCO DO BRASIL SA
|
68,700 |
shares
|
858,960 | |||||||||
BANCO ESPIRITO SANTO (REG)
|
290,563 |
shares
|
343,258 | |||||||||
BANCO SANTANDER BRASIL SA ADS
|
78,844 |
shares
|
573,196 | |||||||||
BANCO SANTANDER SA (SPAIN)
|
1,083,178 |
shares
|
8,721,419 | |||||||||
BANCO SANTDR SA UNIT
|
181,600 |
shares
|
1,327,742 | |||||||||
BANK HAPOALIM LTD (REG)
|
58,592 |
shares
|
250,195 | |||||||||
BANK LEUMI LE-ISRAEL BM
|
302,623 |
shares
|
1,026,500 | |||||||||
BANK OF AMERICA CORPORATION
|
1,647,500 |
shares
|
19,111,000 | |||||||||
BANK OF MONTREAL
|
13,146 |
shares
|
804,328 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
|||||||||||||
BANK OF NEW YORK MELLON CORP
|
958,100 |
shares
|
$ | 24,623,170 | |||||||||
BANK OF NOVA SCOTIA
|
13,321 |
shares
|
769,503 | ||||||||||
BANK RAKYAT INDONESIA TBK PT
|
183,000 |
shares
|
131,969 | ||||||||||
BB&T CORP
|
146,500 |
shares
|
4,264,615 | ||||||||||
BBCN BANCORP INC
|
324,800 |
shares
|
3,757,936 | ||||||||||
BEACON ROOFING SUPPLY INC
|
99,300 |
shares
|
3,304,704 | ||||||||||
BEBIDAS DAS AM (CIA) PFD SP ADR
|
67,415 |
shares
|
2,830,756 | ||||||||||
BEBIDAS DAS AMERS (CIA) PN PFD
|
3,900 |
shares
|
163,010 | ||||||||||
BEC WORLD PLC (LOC)
|
342,100 |
shares
|
793,502 | ||||||||||
BEFIMMO SCA SICAFI
|
894 |
shares
|
57,621 | ||||||||||
BELLE INTERNATION HOLDINGS LTD
|
1,155,000 |
shares
|
2,506,448 | ||||||||||
BENI STABILI SPA SIIQ
|
458,823 |
shares
|
270,169 | ||||||||||
BERKLEY (WR) CORP
|
77,000 |
shares
|
2,905,980 | ||||||||||
BERKSHIRE HATHAWAY INC CL B
|
124,900 |
shares
|
11,203,530 | ||||||||||
BG GROUP PLC
|
153,061 |
shares
|
2,517,479 | ||||||||||
BGP HOLDINGS PLC (UNLISTED)
|
1,317,017 |
shares
|
17 | ||||||||||
BHP BILLITON PLC
|
268,137 |
shares
|
9,275,573 | ||||||||||
BIC
|
1,648 |
shares
|
196,471 | ||||||||||
BIDVEST GROUP LTD
|
29,027 |
shares
|
737,839 | ||||||||||
BIG YELLOW GROUP PLC
|
34,918 |
shares
|
197,111 | ||||||||||
BIM BIRLESIK MAGAZALAR AS
|
80,252 |
shares
|
3,924,991 | ||||||||||
BIO RAD LABS CL A
|
26,000 |
shares
|
2,731,300 | ||||||||||
BIOGEN IDEC INC
|
62,202 |
shares
|
9,123,167 | ||||||||||
BLACKBAUD INC
|
124,995 |
shares
|
2,853,636 | ||||||||||
BLOUNT INTL INC
|
24,015 |
shares
|
379,917 | ||||||||||
BM&F BOVESPA SA
|
1,229,300 |
shares
|
8,405,470 | ||||||||||
BMC SOFTWARE INC
|
351,566 |
shares
|
13,943,108 | ||||||||||
BMW AG (BAYER MTR WKS) (GERW)
|
62,422 |
shares
|
6,008,989 | ||||||||||
BNP PARIBAS (FRAN)
|
82,363 |
shares
|
4,629,630 | ||||||||||
BOARDWALK REIT UNIT
|
27,440 |
shares
|
1,780,138 | ||||||||||
BOEING CO
|
225,143 |
shares
|
16,966,777 | ||||||||||
BOLIDEN AB (SWED)
|
64,547 |
shares
|
1,211,903 | ||||||||||
BOSTON PRIVATE FINL HLDG INC
|
308,400 |
shares
|
2,778,684 | ||||||||||
BOSTON PROPERTIES INC
|
96,990 |
shares
|
10,262,511 | ||||||||||
BOSTON SCIENTIFIC CORP
|
650,000 |
shares
|
3,724,500 | ||||||||||
BR MALLS PARTICIPACOES SA
|
57,800 |
shares
|
762,763 | ||||||||||
BR PROPERTIES SA
|
17,500 |
shares
|
217,949 | ||||||||||
BRADESCO SA PREF
|
86,200 |
shares
|
1,480,661 | ||||||||||
BRAMBLES LTD
|
710,353 |
shares
|
5,539,872 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
BRANDYWINE REALTY TRUST
|
319,900 |
shares
|
$ | 3,899,581 | ||||||||
BRE PROPERTIES INC
|
44,820 |
shares
|
2,278,201 | |||||||||
BRIDGESTONE CORP
|
43,000 |
shares
|
1,103,849 | |||||||||
BRISTOL-MYERS SQUIBB CO
|
151,494 |
shares
|
4,937,189 | |||||||||
BRISTOW GROUP INC
|
59,289 |
shares
|
3,181,448 | |||||||||
BRITISH AMER TOBACCO PLC (UK)
|
116,279 |
shares
|
5,895,239 | |||||||||
BRITISH LAND CO PLC
|
286,898 |
shares
|
2,619,209 | |||||||||
BRITISH SKY BROADCAST GRP PLC
|
107,501 |
shares
|
1,339,412 | |||||||||
BROADCOM CORP CL A
|
172,771 |
shares
|
5,737,725 | |||||||||
BROOKDALE SENIOR LIVING INC
|
175,000 |
shares
|
4,431,000 | |||||||||
BROOKFIELD ASSET INC VTG CL A
|
23,464 |
shares
|
859,584 | |||||||||
BROOKFIELD CDA OFFICE PPTYS
|
6,038 |
shares
|
177,674 | |||||||||
BROOKFIELD OFFICE PPTYS INC
|
90,037 |
shares
|
1,532,208 | |||||||||
BROTHER INDUSTRIES
|
36,000 |
shares
|
382,293 | |||||||||
BURBERRY GROUP PLC
|
175,627 |
shares
|
3,497,745 | |||||||||
C&J ENERGY SERVICES INC
|
159,600 |
shares
|
3,421,824 | |||||||||
CABLEVISION SYS CORP NY GRP A
|
141,000 |
shares
|
2,106,540 | |||||||||
CABOT CORP
|
251,800 |
shares
|
10,019,122 | |||||||||
CADENCE DESIGN SYSTEMS INC
|
145,400 |
shares
|
1,964,354 | |||||||||
CALLOWAY REAL EST INVT TR REIT
|
40,193 |
shares
|
1,169,787 | |||||||||
CAMDEN PROPERTY TRUST REIT
|
22,729 |
shares
|
1,550,345 | |||||||||
CANADIAN APT PPTY REIT TR
|
3,817 |
shares
|
95,550 | |||||||||
CANADIAN IMP BK OF COMMERCE
|
9,437 |
shares
|
758,698 | |||||||||
CANADIAN PAC RAILWAY LTD
|
79,160 |
shares
|
8,044,239 | |||||||||
CANADIAN REAL INVEST TR REIT
|
7,300 |
shares
|
318,215 | |||||||||
CAP GEMINI SA
|
24,778 |
shares
|
1,074,710 | |||||||||
CAPITACOMMERCIAL TRUST REIT
|
1,693,000 |
shares
|
2,335,316 | |||||||||
CAPITAL & REGIONAL PLC
|
381,008 |
shares
|
177,942 | |||||||||
CAPITAL AND COUNTIES PROP PLC
|
73,215 |
shares
|
287,821 | |||||||||
CAPITAL ONE FINANCIAL CORP
|
383,484 |
shares
|
22,215,228 | |||||||||
CAPITAL SHOPPING CENTR GRP (UK)
|
84,227 |
shares
|
479,153 | |||||||||
CAPITALAND LTD
|
1,269,453 |
shares
|
3,845,095 | |||||||||
CAPITAMALL TRUST REIT
|
1,320,700 |
shares
|
2,302,886 | |||||||||
CAPITAMALLS ASIA LTD
|
212,000 |
shares
|
336,687 | |||||||||
CARLSBERG AS CL B
|
21,655 |
shares
|
2,122,476 | |||||||||
CARMAX INC
|
69,200 |
shares
|
2,597,768 | |||||||||
CASEY GENERAL STORES
|
6,346 |
shares
|
336,973 | |||||||||
CASTELLUM AB
|
82,599 |
shares
|
1,172,337 | |||||||||
CATERPILLAR INC
|
44,535 |
shares
|
3,989,445 | |||||||||
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
CCR SA
|
140,500 |
shares
|
$ | 1,334,664 | ||||||||
CELANESE CORP SER A
|
212,700 |
shares
|
9,471,531 | |||||||||
CELESIO AG
|
38,840 |
shares
|
668,776 | |||||||||
CELESTICA INC SUB VTG
|
586,243 |
shares
|
4,777,880 | |||||||||
CELGENE CORP
|
67,700 |
shares
|
5,329,344 | |||||||||
CELLTRION INC
|
120,857 |
shares
|
2,965,635 | |||||||||
CEMEX SAB DE CV SPON ADR
|
1,459,500 |
shares
|
14,405,265 | |||||||||
CENTENE CORP
|
43,841 |
shares
|
1,797,481 | |||||||||
CENTURYLINK INC
|
66,692 |
shares
|
2,608,991 | |||||||||
CFS RETAIL PROPERTY TR GRP
|
232,658 |
shares
|
462,671 | |||||||||
CHAROEN POKPHAND INDO
|
1,812,000 |
shares
|
686,257 | |||||||||
CHEESECAKE FACTORY INC
|
108,400 |
shares
|
3,546,848 | |||||||||
CHESAPEAKE EN PC
|
5,800 |
shares
|
5,194,625 | |||||||||
CHESAPEAKE ENERGY CORP
|
627,000 |
shares
|
10,420,740 | |||||||||
CHEUNG KONG HLDGS LTD
|
176,000 |
shares
|
2,702,155 | |||||||||
CHEVRON CORP
|
244,013 |
shares
|
26,387,566 | |||||||||
CHICAGO BRIDGE & IRON (NY REG)
|
116,364 |
shares
|
5,393,471 | |||||||||
CHILDRENS PL RETAIL STORES INC
|
66,000 |
shares
|
2,923,140 | |||||||||
CHINA LIFE INS CO LTD H
|
99,000 |
shares
|
323,152 | |||||||||
CHINA MOBILE LIMITED
|
625,500 |
shares
|
7,283,250 | |||||||||
CHINA OVERSEAS LAND & INV LTD
|
305,600 |
shares
|
910,785 | |||||||||
CHINA OVERSEAS GRD OCNS GRP LTD
|
249,000 |
shares
|
299,410 | |||||||||
CHINA PACIFIC INS (GRP) CO LTD
|
117,600 |
shares
|
434,693 | |||||||||
CHINA RESOURCES LAND LTD
|
134,000 |
shares
|
364,786 | |||||||||
CHIPOTLE MEXICAN GRILL INC
|
20,334 |
shares
|
6,048,552 | |||||||||
CHIYODA CORP
|
48,000 |
shares
|
680,372 | |||||||||
CHORUS LTD
|
25,240 |
shares
|
61,323 | |||||||||
CHRISTIAN DIOR SA
|
9,884 |
shares
|
1,673,199 | |||||||||
CHUGAI PHARMACEUTICAL CO LTD
|
40,500 |
shares
|
771,807 | |||||||||
CIA BRASILEIRA DE DST SPON ADR
|
2,994 |
shares
|
132,904 | |||||||||
CIA HERING SA
|
7,500 |
shares
|
153,809 | |||||||||
CIELO SA
|
45,480 |
shares
|
1,265,888 | |||||||||
CIGNA CORP
|
30,000 |
shares
|
1,603,800 | |||||||||
CINEMARK HOLDINGS INC
|
164,600 |
shares
|
4,276,308 | |||||||||
CISCO SYSTEMS INC
|
325,500 |
shares
|
6,396,075 | |||||||||
CITIGROUP INC
|
173,635 |
shares
|
6,869,001 | |||||||||
CITIZEN HOLDINGS CO LTD
|
54,200 |
shares
|
282,777 | |||||||||
CITY DEVELOPMENT LTD
|
41,000 |
shares
|
431,968 | |||||||||
CITY NATIONAL CORP
|
90,800 |
shares
|
4,496,416 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
CITYCON OYJ
|
19,908 |
shares
|
$ | 67,533 | ||||||||
CLARCOR INC
|
118,000 |
shares
|
5,638,040 | |||||||||
CLEAN HARBORS INC
|
187,800 |
shares
|
10,330,878 | |||||||||
CME GROUP INC CL A
|
99,380 |
shares
|
5,039,560 | |||||||||
CNOOC LTD
|
1,434,000 |
shares
|
3,104,501 | |||||||||
CNP ASSURANCES
|
51,711 |
shares
|
792,110 | |||||||||
COACH INC
|
153,446 |
shares
|
8,517,787 | |||||||||
COCA COLA WEST COMPANY LTD
|
24,200 |
shares
|
372,351 | |||||||||
COCA-COLA ICECEK SANAYI AS
|
9,210 |
shares
|
191,020 | |||||||||
COCHLEAR LTD
|
37,946 |
shares
|
3,116,937 | |||||||||
COFINIMMO SA
|
916 |
shares
|
108,333 | |||||||||
COGNEX CORP
|
78,800 |
shares
|
2,901,416 | |||||||||
COHERENT INC
|
88,400 |
shares
|
4,474,808 | |||||||||
COLOPLAST AS CL B
|
20,023 |
shares
|
979,488 | |||||||||
COLUMBIA BANKING SYSTEMS INC
|
205,000 |
shares
|
3,677,700 | |||||||||
COMCAST CORP CL A
|
750,043 |
shares
|
28,036,607 | |||||||||
COMMONWEALTH PROP OFFICE UNITS
|
432,508 |
shares
|
458,121 | |||||||||
COMMUNITY HEALTH SYS INC NEW
|
117,600 |
shares
|
3,615,024 | |||||||||
COMMVAULT SYSTEMS INC
|
60,000 |
shares
|
4,182,600 | |||||||||
COMPASS MINERALS INTL INC
|
47,400 |
shares
|
3,541,254 | |||||||||
COMPUTER SCIENCES CORP
|
110,000 |
shares
|
4,405,500 | |||||||||
COMPUWARE CORP
|
139,500 |
shares
|
1,516,365 | |||||||||
CONCHO RESOURCES INC
|
85,048 |
shares
|
6,851,467 | |||||||||
CONOCOPHILLIPS
|
109,643 |
shares
|
6,358,198 | |||||||||
CONSOL ENERGY INC
|
437,800 |
shares
|
14,053,380 | |||||||||
CONTINENTAL AG
|
22,907 |
shares
|
2,648,380 | |||||||||
CONWERT IMMOBIL INVEST AG
|
2,824 |
shares
|
36,418 | |||||||||
CORE LABORATORIES NV
|
42,812 |
shares
|
4,679,780 | |||||||||
CORIO NV
|
26,127 |
shares
|
1,183,398 | |||||||||
CORNING INC
|
241,500 |
shares
|
3,047,730 | |||||||||
CORPORATE EXECUTIVE BRD CO
|
190,500 |
shares
|
9,041,130 | |||||||||
CORPORATE OFFICE PROPERTIES TR
|
3,300 |
shares
|
82,434 | |||||||||
COSAN SA INDUSTRIA E COMERCIO
|
26,400 |
shares
|
538,315 | |||||||||
COSTAR GROUP INC
|
94,000 |
shares
|
8,400,780 | |||||||||
COSTCO WHOLESALE CORP
|
119,904 |
shares
|
11,842,918 | |||||||||
COUNTRY GARDEN HLDGS CO LTD
|
2,323,767 |
shares
|
1,217,220 | |||||||||
COUSINS PROPERTIES INC
|
53,788 |
shares
|
449,130 | |||||||||
COVIDIEN PLC
|
159,719 |
shares
|
9,222,175 | |||||||||
CREDICORP LTD (USA)
|
41,112 |
shares
|
6,025,375 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
CREDIT AGRICOLE SA
|
399,524 |
shares
|
$ | 3,208,408 | ||||||||
CREDIT SUISSE GROUP AG
|
27,091 |
shares
|
659,318 | |||||||||
CREDIT SUISSE GRP SPON ADR
|
16,400 |
shares
|
402,784 | |||||||||
CROCS INC
|
214,700 |
shares
|
3,089,533 | |||||||||
CROMBIE REAL ESTATE INV TR UT
|
12,180 |
shares
|
180,735 | |||||||||
CROWN CASTLE INTL CORP
|
292,683 |
shares
|
21,120,006 | |||||||||
CSL LIMITED
|
19,219 |
shares
|
1,075,735 | |||||||||
CVB FINANCIAL CORP
|
379,500 |
shares
|
3,946,800 | |||||||||
CVS CAREMARK CORP
|
116,912 |
shares
|
5,652,695 | |||||||||
DAI ICHI LIFE INSURANCE CO
|
789 |
shares
|
1,091,950 | |||||||||
DAICEL CORP
|
33,000 |
shares
|
215,975 | |||||||||
DAIHATSU MOTOR CO
|
62,000 |
shares
|
1,224,470 | |||||||||
DAIICHI SANKYO CO LTD
|
94,000 |
shares
|
1,434,386 | |||||||||
DAIMLER AG (GERW)
|
53,712 |
shares
|
2,929,470 | |||||||||
DAINIPPON SUMITOMO PHAR CO LTD
|
36,100 |
shares
|
431,275 | |||||||||
DAIWA HOUSE INDUSTRY CO LTD
|
41,000 |
shares
|
699,937 | |||||||||
DAIWA SECURITIES GROUP INC
|
57,000 |
shares
|
312,518 | |||||||||
DANSKE BK AS
|
72,008 |
shares
|
1,218,542 | |||||||||
DAVITA HEALTHCARE PARTNERS INC
|
66,000 |
shares
|
7,294,980 | |||||||||
DBS GROUP HOLDINGS LTD
|
58,000 |
shares
|
704,613 | |||||||||
DCT INDUSTRIAL TRUST INC REIT
|
135,750 |
shares
|
881,018 | |||||||||
DDR CORP
|
126,697 |
shares
|
1,984,075 | |||||||||
DEERE & CO
|
17,406 |
shares
|
1,504,227 | |||||||||
DELEK GROUP LTD
|
931 |
shares
|
217,468 | |||||||||
DELHAIZE GROUP
|
8,807 |
shares
|
351,650 | |||||||||
DELL INC
|
1,846,400 |
shares
|
18,704,032 | |||||||||
DELTA LLOYD NV
|
41,718 |
shares
|
679,235 | |||||||||
DENA CO LTD
|
14,800 |
shares
|
485,504 | |||||||||
DENBURY RESOURCES INC
|
278,000 |
shares
|
4,503,600 | |||||||||
DERWENT LONDON PLC
|
57,692 |
shares
|
1,973,696 | |||||||||
DEUTSCHE EUROSHOP AG
|
5,557 |
shares
|
232,078 | |||||||||
DEUTSCHE POST AG
|
145,139 |
shares
|
3,180,165 | |||||||||
DEUTSCHE TELEKOM AG (REGD)
|
127,925 |
shares
|
1,451,305 | |||||||||
DEUTSCHE WOHNEN (BR)
|
21,870 |
shares
|
404,142 | |||||||||
DEXUS PROPERTY GRP STAPLED UNT
|
2,893,075 |
shares
|
3,049,378 | |||||||||
DIA SA (DISTRIBUIDORA INTL ALI)
|
363,047 |
shares
|
2,304,971 | |||||||||
DIGITAL REALTY TRUST INC
|
13,150 |
shares
|
892,754 | |||||||||
DINEEQUITY INC
|
74,690 |
shares
|
5,004,230 | |||||||||
DISH NETWORK CORP A
|
85,000 |
shares
|
3,094,000 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
DISNEY (WALT) CO
|
306,435 |
shares
|
$ | 15,257,398 | ||||||||
DNB ASA
|
133,534 |
shares
|
1,691,475 | |||||||||
DOLE FOOD CO INC
|
79,337 |
shares
|
909,995 | |||||||||
DOMTAR CORP
|
11,700 |
shares
|
977,184 | |||||||||
DOUGLAS EMMETT INC REIT
|
56,000 |
shares
|
1,304,800 | |||||||||
DOW CHEMICAL CO
|
206,900 |
shares
|
6,687,008 | |||||||||
DRIL-QUIP INC
|
53,000 |
shares
|
3,871,650 | |||||||||
DSV DE SAMMENSLUT VOGN
|
23,600 |
shares
|
608,340 | |||||||||
DSW INC CL A
|
44,800 |
shares
|
2,942,912 | |||||||||
DUKE REALTY CORP REIT
|
291,260 |
shares
|
4,039,776 | |||||||||
DUNKIN BRANDS GROUP INC
|
333,648 |
shares
|
11,070,441 | |||||||||
EADS NV
|
29,800 |
shares
|
1,160,368 | |||||||||
EAST JAPAN RAILWAY CO
|
20,300 |
shares
|
1,307,485 | |||||||||
EATON CORP PLC
|
34,749 |
shares
|
1,883,396 | |||||||||
EBAY INC
|
260,374 |
shares
|
13,284,281 | |||||||||
ECORODOVIAS INFRAEST E LOGISTIC
|
62,500 |
shares
|
528,083 | |||||||||
EDENRED
|
11,073 |
shares
|
340,548 | |||||||||
EISAI CO LTD
|
15,400 |
shares
|
639,926 | |||||||||
ELECTROLUX AB SER B
|
28,120 |
shares
|
737,252 | |||||||||
ELEKTA AB SER B
|
215,676 |
shares
|
3,362,916 | |||||||||
EMC CORP
|
556,154 |
shares
|
14,070,697 | |||||||||
EMCOR GROUP INC
|
172,000 |
shares
|
5,952,920 | |||||||||
EMERITUS CORP
|
161,600 |
shares
|
3,994,752 | |||||||||
EMERSON ELEC CO
|
59,000 |
shares
|
3,124,640 | |||||||||
ENKA INSAAT VE SANAYI AS
|
259,466 |
shares
|
770,857 | |||||||||
ENTERGY CORP
|
93,000 |
shares
|
5,928,750 | |||||||||
EOG RESOURCES INC
|
191,510 |
shares
|
23,132,493 | |||||||||
EPR PROPERTIES
|
106,400 |
shares
|
4,906,104 | |||||||||
EQT CORPORATION
|
62,000 |
shares
|
3,656,760 | |||||||||
EQUITY LIFESTYLE PPTYS INC
|
20,251 |
shares
|
1,362,690 | |||||||||
EQUITY RESIDENTIAL REIT
|
166,030 |
shares
|
9,408,920 | |||||||||
ERSTE GROUP BANK AG
|
53,266 |
shares
|
1,689,161 | |||||||||
ESSEX PROPERTY TRUST INC
|
7,320 |
shares
|
1,073,478 | |||||||||
ESSILOR INTERNATIONAL SA (FRAN)
|
28,894 |
shares
|
2,899,299 | |||||||||
ESTEE LAUDER COS INC CL A
|
173,635 |
shares
|
10,393,791 | |||||||||
EURAZEO
|
13,529 |
shares
|
646,535 | |||||||||
EUROCOMMERCIAL CVA
|
18,215 |
shares
|
724,652 | |||||||||
EVERBANK FINANCIAL CORP
|
256,200 |
shares
|
3,819,942 | |||||||||
EXELON CORP
|
178,000 |
shares
|
5,293,720 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
EXLSERVICE HOLDINGS INC
|
147,643 |
shares
|
$ | 3,912,540 | ||||||||
EXOR SPA
|
28,826 |
shares
|
722,929 | |||||||||
EXPEDITORS INTL OF WASH INC
|
103,719 |
shares
|
4,102,086 | |||||||||
EXPRESS SCRIPTS HLDG CO
|
178,090 |
shares
|
9,616,860 | |||||||||
EXTENDICARE INC
|
18,990 |
shares
|
146,048 | |||||||||
EXXON MOBIL CORP
|
237,829 |
shares
|
20,584,100 | |||||||||
FACEBOOK INC A
|
259,924 |
shares
|
6,921,776 | |||||||||
FAIRFAX MEDIA LTD
|
532,103 |
shares
|
281,807 | |||||||||
FAMILY DOLLAR STORES INC
|
45,100 |
shares
|
2,859,791 | |||||||||
FAMILYMART CO LTD
|
13,600 |
shares
|
558,065 | |||||||||
FAR EASTONE TELECOM CO LTD
|
350,000 |
shares
|
892,310 | |||||||||
FEDERAL REALTY INVESTMENT TR
|
21,310 |
shares
|
2,216,666 | |||||||||
FEDERATION CENTRES STA UT
|
907,998 |
shares
|
2,140,407 | |||||||||
FEDEX CORP
|
298,400 |
shares
|
27,369,248 | |||||||||
FIAT INDUSTRIAL SPA
|
66,989 |
shares
|
729,925 | |||||||||
FIAT SPA
|
1,766,104 |
shares
|
8,835,130 | |||||||||
FIFTH THIRD BANCORP
|
387,412 |
shares
|
5,884,788 | |||||||||
FIRST CAPITAL REALTY INC
|
7,000 |
shares
|
132,442 | |||||||||
FIRST FINANCIAL BANCORP
|
220,300 |
shares
|
3,220,786 | |||||||||
FIRST PACIFIC CO LTD
|
210,000 |
shares
|
230,568 | |||||||||
FLEETCOR TECHNOLOGIES INC
|
260,320 |
shares
|
13,966,168 | |||||||||
FOMENTO ECONO MEX (FEMSA) SP ADR
|
6,909 |
shares
|
695,736 | |||||||||
FOMENTO ECONO MEXI (FEMSA) UBD
|
109,690 |
shares
|
1,097,299 | |||||||||
FONCIERE DES REGIONS
|
11,998 |
shares
|
1,002,467 | |||||||||
FOREST CITY ENTERPRISES CL A
|
160,310 |
shares
|
2,589,006 | |||||||||
FORTESCUE METALS GROUP LTD
|
1,474,539 |
shares
|
7,120,243 | |||||||||
FORUM ENERGY TECHNOLOGIES INC
|
253,500 |
shares
|
6,274,125 | |||||||||
FRANKLIN RESOURCES INC
|
89,800 |
shares
|
11,287,860 | |||||||||
FRAPORT AG FRANKFURT AIRP SAKT
|
12,227 |
shares
|
709,068 | |||||||||
FREEPORT MCMORAN COPPER & GOLD
|
58,828 |
shares
|
2,011,918 | |||||||||
FRESNILLO PLC
|
16,991 |
shares
|
509,791 | |||||||||
FUJI HEAVY INDUSTRIES LTD
|
86,000 |
shares
|
1,068,113 | |||||||||
FUJIFILM HOLDINGS CORP
|
32,100 |
shares
|
638,406 | |||||||||
FUJITSU LTD
|
465,000 |
shares
|
1,932,244 | |||||||||
FUKUOKA FINANCIAL GROUP INC
|
167,000 |
shares
|
663,104 | |||||||||
GARDNER DENVER INC
|
59,200 |
shares
|
4,055,200 | |||||||||
GATX CORP
|
105,900 |
shares
|
4,585,470 | |||||||||
GAZPROM O A O SPON ADR
|
735,965 |
shares
|
7,160,939 | |||||||||
GBL (GROUPE BRUXELLES LAMB) SA
|
11,339 |
shares
|
900,110 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
GEBERIT AG (REG)
|
25,909 |
shares
|
$ | 5,704,994 | ||||||||
GECINA SA
|
12,026 |
shares
|
1,347,679 | |||||||||
GENERAL ELECTRIC CO
|
1,475,735 |
shares
|
30,975,678 | |||||||||
GENERAL GROWTH PPTYS INC NEW
|
263,516 |
shares
|
5,230,792 | |||||||||
GENERAL MOTORS CO
|
272,500 |
shares
|
7,856,175 | |||||||||
GENERALI SPA (ASSICURAZIONI)
|
159,668 |
shares
|
2,895,757 | |||||||||
GENESCO INC
|
50,900 |
shares
|
2,799,500 | |||||||||
GENESEE & WYOMING INC CL A
|
185,550 |
shares
|
14,116,644 | |||||||||
GENTEX CORP
|
144,429 |
shares
|
2,718,154 | |||||||||
GENWORTH FINANCIAL INC A
|
185,000 |
shares
|
1,389,350 | |||||||||
GILEAD SCIENCES INC
|
134,443 |
shares
|
9,874,838 | |||||||||
GJENSIDIGE FORSIKRING ASA
|
78,720 |
shares
|
1,124,622 | |||||||||
GKN PLC
|
129,340 |
shares
|
480,723 | |||||||||
GLAXOSMITHKLINE PLC
|
35,311 |
shares
|
765,769 | |||||||||
GLAXOSMITHKLINE PLC SPONS ADR
|
448,918 |
shares
|
19,514,465 | |||||||||
GLOBAL LOGISTIC PROPERTIES LTD
|
1,205,600 |
shares
|
2,743,701 | |||||||||
GLOBAL PAYMENTS INC
|
118,900 |
shares
|
5,386,170 | |||||||||
GLP J-REIT
|
566 |
shares
|
432,495 | |||||||||
GNC HOLDINGS INC
|
166,500 |
shares
|
5,541,120 | |||||||||
GOLDEN AGRI-RESOURCES LTD
|
542,000 |
shares
|
288,404 | |||||||||
GOLDMAN SACHS GROUP INC
|
199,323 |
shares
|
25,425,642 | |||||||||
GOODMAN GROUP (STAPLE)
|
578,866 |
shares
|
2,602,864 | |||||||||
GOOGLE INC A
|
50,067 |
shares
|
35,516,027 | |||||||||
GPT GROUP REIT STAPLED
|
588,994 |
shares
|
2,250,839 | |||||||||
GRACO INC
|
191,652 |
shares
|
9,868,161 | |||||||||
GRAINGER PLC
|
140,454 |
shares
|
270,598 | |||||||||
GRAND CANYON EDUCATION INC
|
183,000 |
shares
|
4,295,010 | |||||||||
GRANITE REAL ESTATE INC
|
146,000 |
shares
|
5,549,460 | |||||||||
GREAT PORTLAND ESTATES PLC
|
234,820 |
shares
|
1,865,688 | |||||||||
GREAT WEST LIFECO INC
|
7,534 |
shares
|
184,430 | |||||||||
GREE INC
|
164,600 |
shares
|
2,542,100 | |||||||||
GREEK ORG OF FOOTBL PROGNOC SA
|
86,763 |
shares
|
618,423 | |||||||||
GRIFOLS
|
34,864 |
shares
|
1,213,054 | |||||||||
GROUP 1 AUTOMOTIVE INC
|
46,500 |
shares
|
2,882,535 | |||||||||
GROWTHPOINT PROPERTIES INC
|
95,106 |
shares
|
274,857 | |||||||||
GRUPO FINANCIERO BANORTE SAB
|
85,500 |
shares
|
551,973 | |||||||||
GSW IMMOBILIEN GMBH
|
23,281 |
shares
|
983,352 | |||||||||
GUANGZHOU R&F PROPERTIES CO H
|
136,400 |
shares
|
227,015 | |||||||||
GUDANG GARAM PT (DEMAT)
|
200,500 |
shares
|
1,171,274 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
GULFMARK OFFSHORE INC CLASS A
|
87,666 |
shares
|
$ | 3,020,094 | ||||||||
GUNMA BANK
|
54,000 |
shares
|
262,411 | |||||||||
HAEMONETICS CORP MASS
|
225,700 |
shares
|
9,217,588 | |||||||||
HAMMERSON PLC
|
437,007 |
shares
|
3,466,423 | |||||||||
HANESBRANDS INC
|
155,000 |
shares
|
5,552,100 | |||||||||
HANG LUNG PROPERTIES LTD
|
453,898 |
shares
|
1,803,681 | |||||||||
HANG SENG BANK LTD
|
40,400 |
shares
|
618,704 | |||||||||
HANGER INC
|
67,677 |
shares
|
1,851,643 | |||||||||
HCP INC REIT
|
145,038 |
shares
|
6,552,817 | |||||||||
HEALTH CARE REIT INC
|
46,300 |
shares
|
2,837,727 | |||||||||
HEALTHCARE REALTY TRUST INC
|
57,610 |
shares
|
1,383,216 | |||||||||
HEALTHSOUTH CORP
|
157,500 |
shares
|
3,324,825 | |||||||||
HEARTLAND PAYMENT SYSTEMS IN
|
136,310 |
shares
|
4,021,145 | |||||||||
HEARTWARE INTERNATIONAL INC
|
2,900 |
shares
|
243,455 | |||||||||
HEIDELBERGCEMENT AG (GERW)
|
61,649 |
shares
|
3,729,352 | |||||||||
HEINEKEN HOLDING NV
|
18,330 |
shares
|
1,002,507 | |||||||||
HENDERSON LAND DEVMT CO LTD
|
333,266 |
shares
|
2,351,955 | |||||||||
HENKEL AG & CO KGAA ORD
|
8,817 |
shares
|
604,361 | |||||||||
HENNES & MAURITZ AB B
|
5,653 |
shares
|
195,151 | |||||||||
HENRY (JACK) & ASSOCIATES INC
|
404,400 |
shares
|
15,876,744 | |||||||||
HERBALIFE LTD
|
86,900 |
shares
|
2,862,486 | |||||||||
HERCULES OFFSHORE INC
|
410,600 |
shares
|
2,537,508 | |||||||||
HESS CORP
|
84,100 |
shares
|
4,453,936 | |||||||||
HEXCEL CORPORATION
|
115,936 |
shares
|
3,125,635 | |||||||||
HIGHWOODS PROPERTIES INC
|
24,700 |
shares
|
826,215 | |||||||||
HINO MOTORS LTD
|
227,000 |
shares
|
2,025,405 | |||||||||
HITTITE MICROWAVE CORP
|
79,300 |
shares
|
4,924,530 | |||||||||
HMS HOLDINGS CORP
|
203,000 |
shares
|
5,261,760 | |||||||||
HOMEAWAY INC
|
244,000 |
shares
|
5,368,000 | |||||||||
HONEYWELL INTL INC
|
119,186 |
shares
|
7,564,735 | |||||||||
HONG KONG EXCHS & CLEARING LTD
|
209,700 |
shares
|
3,568,567 | |||||||||
HONGKONG LAND HLDGS LTD
|
845,656 |
shares
|
5,911,135 | |||||||||
HOPEWELL HOLDINGS LTD
|
37,000 |
shares
|
158,725 | |||||||||
HORNBECK OFFSHORE SERVICES INC
|
78,500 |
shares
|
2,695,690 | |||||||||
HOST HOTELS & RESORTS INC
|
492,607 |
shares
|
7,719,152 | |||||||||
HSBC HOLDINGS PLC (UK REG)
|
343,409 |
shares
|
3,608,736 | |||||||||
HSBC HOLDINGS PLC SPON ADR
|
132,027 |
shares
|
7,006,673 | |||||||||
HUB GROUP INC CL A
|
85,518 |
shares
|
2,873,405 | |||||||||
HUDSON PACIFIC PROPERTIES INC
|
18,560 |
shares
|
390,874 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
HUFVUDSTADEN (FASTIG) AB SER A
|
91,104 |
shares
|
$ | 1,148,055 | ||||||||
HURON CONSULTING GROUP INC
|
118,000 |
shares
|
3,975,420 | |||||||||
HUSQVARNA AB B SHR
|
85,396 |
shares
|
514,623 | |||||||||
HYSAN DEVELOPMENT CO LTD
|
596,851 |
shares
|
2,868,421 | |||||||||
ICADE REIT
|
13,404 |
shares
|
1,183,989 | |||||||||
IDACORP INC
|
64,100 |
shares
|
2,778,735 | |||||||||
IDEMITSU KOSAN CO LTD
|
2,000 |
shares
|
172,678 | |||||||||
IGUATEMI EMP DE SHP CNT SA
|
26,800 |
shares
|
356,548 | |||||||||
IHS INC CL A
|
51,100 |
shares
|
4,905,600 | |||||||||
II-VI INC.
|
198,490 |
shares
|
3,626,412 | |||||||||
ILLINOIS TOOL WORKS INC
|
65,900 |
shares
|
4,007,379 | |||||||||
ILLUMINA INC
|
89,138 |
shares
|
4,955,181 | |||||||||
IMMOFINANZ AG
|
192,600 |
shares
|
807,410 | |||||||||
IMPALA PLATINUM HOLDINGS LTD
|
96,936 |
shares
|
1,917,566 | |||||||||
IMPERIAL HOLDINGS LTD
|
40,020 |
shares
|
938,387 | |||||||||
INDITEX SA
|
129,682 |
shares
|
18,058,832 | |||||||||
INDITEX SA UNSPN ADR
|
528,864 |
shares
|
15,088,490 | |||||||||
INDUSTRIVARDEN AB SER C
|
68,110 |
shares
|
1,127,984 | |||||||||
INFORMATICA CORP
|
190,000 |
shares
|
5,760,800 | |||||||||
ING GROEP NV CVA
|
199,754 |
shares
|
1,861,741 | |||||||||
INGERSOLL RAND PLC
|
72,700 |
shares
|
3,486,692 | |||||||||
INGRAM MICRO INC CL A
|
565,900 |
shares
|
9,575,028 | |||||||||
INNOPHOS HOLDINGS INC
|
79,900 |
shares
|
3,715,350 | |||||||||
INSURANCE AUSTRALIA GROUP LTD
|
126,812 |
shares
|
617,616 | |||||||||
INTERCONTINENTAL EXCHANGE INC
|
83,405 |
shares
|
10,326,373 | |||||||||
INTERNATIONAL PAPER CO
|
198,500 |
shares
|
7,908,240 | |||||||||
INTERVAL LEISURE GROUP INC
|
105,747 |
shares
|
2,050,434 | |||||||||
INTESA SANPAOLO SPA
|
2,389,774 |
shares
|
4,100,697 | |||||||||
IBM CORP
|
99,800 |
shares
|
19,116,690 | |||||||||
INTUIT INC
|
279,652 |
shares
|
16,639,293 | |||||||||
INVESCO LTD
|
154,000 |
shares
|
4,017,860 | |||||||||
INVESTA OFFICE FUND STPL UNITS
|
329,210 |
shares
|
1,015,349 | |||||||||
INVESTOR AB
|
61,806 |
shares
|
1,615,682 | |||||||||
IPC THE HOSPITALIST CO
|
59,929 |
shares
|
2,379,781 | |||||||||
ISHRS MSCI EAFE ETF
|
63,014 |
shares
|
3,580,455 | |||||||||
ISHRS MSCI EMERGING MARKET ETF
|
20,640 |
shares
|
915,384 | |||||||||
ISRAEL CORPORATION SER A
|
385 |
shares
|
250,980 | |||||||||
ISUZU MOTORS LTD
|
311,000 |
shares
|
1,834,374 | |||||||||
ITAU UNIBANCO HLDG SA SPON ADR
|
318,500 |
shares
|
5,242,510 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
ITAUSA (INVEST ITAU) PFD
|
202,300 |
shares
|
$ | 957,405 | ||||||||
ITOCHU CORP
|
56,700 |
shares
|
593,604 | |||||||||
ITV PLC
|
588,915 |
shares
|
1,006,409 | |||||||||
J2 GLOBAL INC
|
143,498 |
shares
|
4,388,169 | |||||||||
JAMES HARDIE INDUSTRES PLC CDI
|
270,508 |
shares
|
2,561,890 | |||||||||
JAPAN AIRLINES CO LTD
|
38,400 |
shares
|
1,639,984 | |||||||||
JAPAN LOGISTICS FUND INC
|
3 |
shares
|
26,040 | |||||||||
JAPAN PETROLEUM EXPLRN CO LTD
|
4,300 |
shares
|
149,893 | |||||||||
JAPAN REAL ESTATE INVESTMENT
|
255 |
shares
|
2,501,876 | |||||||||
JAPAN RETAIL FUND INVEST CORP
|
601 |
shares
|
1,100,232 | |||||||||
JAPAN TOBACCO INC
|
128,000 |
shares
|
3,605,009 | |||||||||
JARDEN CORP
|
120,000 |
shares
|
6,204,000 | |||||||||
JERONIMO MARTINS & FILHO SGPS
|
176,958 |
shares
|
3,410,205 | |||||||||
JGC CORP
|
25,000 |
shares
|
772,205 | |||||||||
JOHNSON & JOHNSON
|
190,369 |
shares
|
13,344,867 | |||||||||
JONES LANG LASALLE INC
|
56,500 |
shares
|
4,742,610 | |||||||||
JOS A BANKS CLOTHIERS INC
|
106,500 |
shares
|
4,534,770 | |||||||||
JPMORGAN CHASE & CO
|
602,741 |
shares
|
26,502,522 | |||||||||
JSR CORP
|
23,400 |
shares
|
442,692 | |||||||||
JTEKT CORPORATION
|
34,600 |
shares
|
325,093 | |||||||||
JULIUS BAER GRUPPE AG
|
25,943 |
shares
|
917,003 | |||||||||
K12 INC
|
146,800 |
shares
|
3,000,592 | |||||||||
KABEL DEUTSCHLAND HOLDING AG
|
10,623 |
shares
|
793,215 | |||||||||
KAMIGUMI CO LTD
|
18,000 |
shares
|
142,737 | |||||||||
KANSAS CITY SOUTHERN
|
36,958 |
shares
|
3,085,254 | |||||||||
KAO CORP
|
64,400 |
shares
|
1,671,791 | |||||||||
KAO CORP SPON ADR
|
8,322 |
shares
|
216,122 | |||||||||
KASIKORNBANK PCL (FOR)
|
193,800 |
shares
|
1,225,100 | |||||||||
KASIKORNBANK PCL (LOC)
|
97,500 |
shares
|
616,343 | |||||||||
KAWASAKI HEAVY INDUSTRIES LTD
|
242,000 |
shares
|
648,052 | |||||||||
KBC GROUPE SA
|
23,073 |
shares
|
796,404 | |||||||||
KDDI CORP
|
19,600 |
shares
|
1,377,780 | |||||||||
KELLOGG CO
|
78,300 |
shares
|
4,373,055 | |||||||||
KENEDIX REALTY INV CORP REIT
|
90 |
shares
|
312,691 | |||||||||
KENNAMETAL INC
|
60,100 |
shares
|
2,404,000 | |||||||||
KENNEDY-WILSON HOLDINGS INC
|
165,251 |
shares
|
2,310,209 | |||||||||
KEPPEL LAND LTD
|
182,700 |
shares
|
602,743 | |||||||||
KERRY GROUP PLC CL A
|
4,714 |
shares
|
247,770 | |||||||||
KERRY PROPERTIES LTD
|
579,500 |
shares
|
3,009,331 | |||||||||
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
KEYCORP
|
190,077 |
shares
|
$ | 1,600,448 | ||||||||
KILROY REALTY CORP
|
41,600 |
shares
|
1,970,592 | |||||||||
KIMCO REALTY CORPORATION
|
121,000 |
shares
|
2,337,720 | |||||||||
KINDER MORGAN INC
|
342,676 |
shares
|
12,106,743 | |||||||||
KINDER MORGAN WT
|
104,945 |
shares
|
396,692 | |||||||||
KINNEVIK INVESTMENT AB B
|
45,610 |
shares
|
951,735 | |||||||||
KIRBY CORP
|
57,300 |
shares
|
3,546,297 | |||||||||
KIRIN HOLDINGS CO LTD
|
83,000 |
shares
|
969,539 | |||||||||
KLABIN SA PFD
|
95,800 |
shares
|
598,428 | |||||||||
KLEPIERRE SA
|
49,676 |
shares
|
1,968,407 | |||||||||
KNIGHT TRANSPORTATION INC
|
184,300 |
shares
|
2,696,309 | |||||||||
KOC HLDG AS
|
155,265 |
shares
|
805,938 | |||||||||
KOHLS CORP
|
148,500 |
shares
|
6,382,530 | |||||||||
KOITO MANUFACTURING CO LTD
|
33,000 |
shares
|
475,374 | |||||||||
KONICA MINOLTA HOLDINGS INC
|
107,000 |
shares
|
760,801 | |||||||||
KOPPERS HLDGS INC
|
132,100 |
shares
|
5,039,615 | |||||||||
KOREA ELECTRIC POWER SPON ADR
|
499,400 |
shares
|
6,976,618 | |||||||||
KOREA GAS CORP
|
6,287 |
shares
|
443,904 | |||||||||
KOREA ZINC CO LTD
|
1,935 |
shares
|
736,786 | |||||||||
KOZA ALTIN ISLETMELERI AS
|
13,797 |
shares
|
332,560 | |||||||||
KRAFT FOODS GROUP INC
|
30,180 |
shares
|
1,372,285 | |||||||||
KT & G CORP
|
11,755 |
shares
|
892,975 | |||||||||
KUBOTA CORP
|
108,000 |
shares
|
1,229,157 | |||||||||
KYOCERA CORP
|
29,000 |
shares
|
2,600,912 | |||||||||
KYOWA HAKKO KIRIN CO LTD
|
19,000 |
shares
|
186,195 | |||||||||
LACLEDE GROUP INC
|
77,300 |
shares
|
2,984,553 | |||||||||
LAFARGE SA (BR)
|
13,734 |
shares
|
874,323 | |||||||||
LAND SECURITIES GROUP PLC
|
348,171 |
shares
|
4,601,045 | |||||||||
LAREDO PETROLEUM INC
|
158,800 |
shares
|
2,883,808 | |||||||||
LAWSON INC
|
7,100 |
shares
|
481,064 | |||||||||
LEGG MASON INC
|
13,400 |
shares
|
344,648 | |||||||||
LEVEL 3 COMMUNICATIONS INC
|
436,900 |
shares
|
10,096,759 | |||||||||
LEXINGTON REALTY TRUST REIT
|
2,870 |
shares
|
29,991 | |||||||||
LG DISPLAY CO LTD
|
17,160 |
shares
|
500,938 | |||||||||
LG HOUSEHOLD & HEALTHCARE LTD
|
2,076 |
shares
|
1,282,325 | |||||||||
LIBERTY GLOBAL INC CL A
|
6,000 |
shares
|
377,940 | |||||||||
LIBERTY GLOBAL INC CL C
|
6,000 |
shares
|
352,500 | |||||||||
LIBERTY INTERACTIVE CORP
|
701,300 |
shares
|
13,801,584 | |||||||||
LIBERTY PROPERTY TRUST - REIT
|
54,500 |
shares
|
1,949,465 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
LINK REAL ESTATE INVESTMENT TR
|
1,052,500 |
shares
|
$ | 5,255,134 | ||||||||
LINKEDIN CORP CL A
|
82,811 |
shares
|
9,508,359 | |||||||||
LITTELFUSE INC
|
95,618 |
shares
|
5,900,587 | |||||||||
LLOYDS BANKING GROUP PLC
|
1,671,972 |
shares
|
1,301,388 | |||||||||
LOCKHEED MARTIN CORP
|
27,500 |
shares
|
2,537,975 | |||||||||
LOEWS CORP
|
388,200 |
shares
|
15,819,150 | |||||||||
L'OREAL SA ORD
|
70,432 |
shares
|
9,752,209 | |||||||||
LOWES COS INC
|
276,820 |
shares
|
9,832,646 | |||||||||
LUFTHANSA AG (REGD)
|
38,708 |
shares
|
727,559 | |||||||||
LUKOIL OIL CO SPONS ADR (US)
|
77,549 |
shares
|
5,234,558 | |||||||||
LULULEMON ATHLETICA INC
|
106,495 |
shares
|
8,118,114 | |||||||||
LUXOTTICA GROUP SPA
|
28,372 |
shares
|
1,163,560 | |||||||||
LXB RETAIL PROPERTIES
|
285,067 |
shares
|
546,431 | |||||||||
LYONDELLBASELL INDS CLASS A
|
66,143 |
shares
|
3,776,104 | |||||||||
MABUCHI MOTOR CO LTD
|
4,300 |
shares
|
181,411 | |||||||||
MACERICH COMPANY
|
89,112 |
shares
|
5,195,229 | |||||||||
MACK CALI REALTY CORP REIT
|
180,700 |
shares
|
4,718,077 | |||||||||
MACYS INC
|
82,267 |
shares
|
3,210,058 | |||||||||
MADISON SQUARE GARDEN CO A
|
36,500 |
shares
|
1,618,775 | |||||||||
MAGELLAN HLTH SERVICES INC
|
89,000 |
shares
|
4,361,000 | |||||||||
MAIL.RU GROUP LTD GDR REGS
|
72,565 |
shares
|
2,503,492 | |||||||||
MANITOWOC CO INC
|
228,300 |
shares
|
3,579,744 | |||||||||
MAPLETREE COMMERCIAL TRUST
|
193,000 |
shares
|
191,965 | |||||||||
MARSH & MCLENNAN COS INC
|
247,500 |
shares
|
8,531,325 | |||||||||
MARTIN MARIETTA MATERIALS INC
|
139,100 |
shares
|
13,114,348 | |||||||||
MASTERCARD INC CL A
|
69,592 |
shares
|
34,189,158 | |||||||||
MAXIM INTEGRATED PRODUCTS INC
|
128,000 |
shares
|
3,763,200 | |||||||||
MAXIMUS INC
|
101,900 |
shares
|
6,442,118 | |||||||||
MCGRAW-HILL COS INC
|
55,000 |
shares
|
3,006,850 | |||||||||
MEDIASET SPA
|
172,377 |
shares
|
354,035 | |||||||||
MEDICINES CO
|
151,500 |
shares
|
3,631,455 | |||||||||
MEDIOBANCA SPA
|
61,575 |
shares
|
378,908 | |||||||||
MEDIPAL HOLDINGS CORP
|
16,000 |
shares
|
176,372 | |||||||||
MEDNAX INC
|
146,000 |
shares
|
11,609,920 | |||||||||
MEDTRONIC INC
|
80,000 |
shares
|
3,281,600 | |||||||||
MEGGITT PLC ORD
|
791,905 |
shares
|
4,917,946 | |||||||||
MEIJI HOLDINGS CO LTD
|
8,300 |
shares
|
358,308 | |||||||||
MENS WEARHOUSE INC
|
90,500 |
shares
|
2,819,980 | |||||||||
MERCADOLIBRE INC
|
33,900 |
shares
|
2,663,523 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
MERCIALYS
|
24,707 |
shares
|
$ | 559,296 | ||||||||
MERCK & CO INC NEW
|
832,508 |
shares
|
34,082,878 | |||||||||
MERCK KGAA
|
14,417 |
shares
|
1,899,737 | |||||||||
METLIFE INC
|
197,500 |
shares
|
6,505,650 | |||||||||
METRIC PROPERTY INVESTMENTS
|
147,002 |
shares
|
242,379 | |||||||||
MICRON TECHNOLOGY INC
|
1,664,100 |
shares
|
10,567,035 | |||||||||
MICROS SYSTEMS INC
|
137,500 |
shares
|
5,835,500 | |||||||||
MICROSEMI CORP
|
272,500 |
shares
|
5,733,400 | |||||||||
MICROSOFT CORP
|
955,987 |
shares
|
25,553,533 | |||||||||
MIRVAC GROUP STAPLED SECURITY
|
1,536,537 |
shares
|
2,369,491 | |||||||||
MITSUBISHI CORP
|
14,300 |
shares
|
271,854 | |||||||||
MITSUBISHI ESTATE CO LTD
|
598,870 |
shares
|
14,163,844 | |||||||||
MITSUBISHI GAS CHEMICAL CO
|
33,000 |
shares
|
199,977 | |||||||||
MITSUBISHI HEAVY INDS LTD
|
106,000 |
shares
|
507,762 | |||||||||
MITSUBISHI UFJ FINL GRP INC
|
517,600 |
shares
|
2,754,240 | |||||||||
MITSUI & CO LTD
|
49,700 |
shares
|
736,020 | |||||||||
MITSUI FUDOSAN CO (RE DEV)
|
452,499 |
shares
|
10,916,176 | |||||||||
MIZRAHI TEFAHOT BANK LTD
|
18,217 |
shares
|
187,718 | |||||||||
MOBILE TELESYSTEMS SPON ADR
|
35,354 |
shares
|
659,352 | |||||||||
MOBIMO HOLDING AG
|
553 |
shares
|
132,348 | |||||||||
MOLEX INC
|
20,000 |
shares
|
546,600 | |||||||||
MOLEX INC CLASS A
|
100,000 |
shares
|
2,232,000 | |||||||||
MONDELEZ INTERNATIONAL INC
|
822,782 |
shares
|
20,956,257 | |||||||||
MONSANTO CO NEW
|
139,026 |
shares
|
13,158,811 | |||||||||
MOOG INC CL A
|
54,300 |
shares
|
2,227,929 | |||||||||
MORGAN STANLEY
|
835,518 |
shares
|
15,975,104 | |||||||||
MRC GLOBAL INC
|
228,800 |
shares
|
6,356,064 | |||||||||
MS&AD INSURANCE GRP HLDGS INC
|
49,600 |
shares
|
976,141 | |||||||||
MSCI INC
|
149,750 |
shares
|
4,640,753 | |||||||||
MTR CORPORATION LTD
|
141,500 |
shares
|
556,810 | |||||||||
MUNICH REINSURANCE (REG)
|
12,243 |
shares
|
2,197,780 | |||||||||
MURPHY OIL CORP
|
170,800 |
shares
|
10,171,140 | |||||||||
NAMCO BANDAI HLDGS INC
|
68,400 |
shares
|
881,893 | |||||||||
NASDAQ OMX GROUP
|
350,000 |
shares
|
8,753,500 | |||||||||
NATIONAL GRID PLC
|
274,076 |
shares
|
3,129,916 | |||||||||
NATIONAL OILWELL VARCO INC
|
60,322 |
shares
|
4,123,009 | |||||||||
NATIONAL PENN BANCSHARES INC
|
516,400 |
shares
|
4,812,848 | |||||||||
NATIXIS
|
511,212 |
shares
|
1,720,674 | |||||||||
NAVIGATORS GROUP INC
|
95,600 |
shares
|
4,882,292 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
NEDBANK GROUP LTD
|
9,473 |
shares
|
$ | 210,077 | ||||||||
NESTE OIL OYJ
|
63,432 |
shares
|
818,013 | |||||||||
NESTLE SA REG ADR
|
40,158 |
shares
|
2,617,097 | |||||||||
NETAPP INC
|
175,000 |
shares
|
5,871,250 | |||||||||
NEUSTAR INC CL A
|
246,348 |
shares
|
10,329,372 | |||||||||
NEW JERSEY RESOURCES CORP
|
68,450 |
shares
|
2,711,989 | |||||||||
NEW ORIENTAL ED & TECH GR
|
135,700 |
shares
|
2,636,651 | |||||||||
NEW WORLD DEVELOPMENT CO LTD
|
1,632,762 |
shares
|
2,532,084 | |||||||||
NEWFIELD EXPLORATION CO
|
122,500 |
shares
|
3,280,550 | |||||||||
NEWS CORP LTD CL A
|
444,800 |
shares
|
11,360,192 | |||||||||
NEXON CO LTD
|
600 |
shares
|
6,011 | |||||||||
NEXT PLC
|
47,354 |
shares
|
2,853,119 | |||||||||
NEXTERA ENERGY
|
61,220 |
shares
|
4,235,812 | |||||||||
NHN CORP
|
21,784 |
shares
|
4,649,099 | |||||||||
NICE SYSTEMS LTD
|
15,016 |
shares
|
494,872 | |||||||||
NICE SYSTEMS LTD SPON ADR
|
175,000 |
shares
|
5,859,000 | |||||||||
NIKE INC CL B
|
377,020 |
shares
|
19,454,232 | |||||||||
NIPPON ACCOMMDTN FUND I REIT
|
44 |
shares
|
304,727 | |||||||||
NIPPON BUILDING FUND INC
|
72 |
shares
|
742,148 | |||||||||
NIPPON EXPRESS CO LTD
|
55,000 |
shares
|
225,371 | |||||||||
NIPPON TELEGRAPH & TELEPHONE
|
93,700 |
shares
|
3,926,023 | |||||||||
NKSJ HOLDINGS INC
|
63,500 |
shares
|
1,344,982 | |||||||||
NOKIA CORP SPON ADR
|
740,351 |
shares
|
2,924,386 | |||||||||
NOKIA OYJ
|
112,231 |
shares
|
433,456 | |||||||||
NOMURA HOLDINGS INC
|
581,700 |
shares
|
3,377,331 | |||||||||
NORDEA BANK AB
|
299,594 |
shares
|
2,860,889 | |||||||||
NORWEGIAN PROPERTY ASA
|
168,146 |
shares
|
257,162 | |||||||||
NOVARTIS AG SPON ADR
|
225,000 |
shares
|
14,242,500 | |||||||||
NOVO-NORDISK AS CL B
|
95,643 |
shares
|
15,508,167 | |||||||||
NOVO-NORDISK AS CL B ADR
|
117,698 |
shares
|
19,209,490 | |||||||||
NOVOZYMES A/S B
|
136,188 |
shares
|
3,835,807 | |||||||||
NRG ENERGY INC
|
468,080 |
shares
|
10,761,159 | |||||||||
NSK LTD
|
25,000 |
shares
|
175,737 | |||||||||
NTT DOCOMO INC
|
496 |
shares
|
709,921 | |||||||||
NTT URBAN DEVELOPMENT CORP
|
146 |
shares
|
140,211 | |||||||||
NUCOR CORP
|
54,600 |
shares
|
2,357,628 | |||||||||
NVR INC
|
1,200 |
shares
|
1,104,000 | |||||||||
OBAYASHI CORP
|
108,000 |
shares
|
603,359 | |||||||||
OCCIDENTAL PETROLEUM CORP
|
178,142 |
shares
|
13,647,459 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
OCEANEERING INTERNATIONAL INC
|
63,000 |
shares
|
$ | 3,388,770 | ||||||||
OCH-ZIFF CAPITAL MNGMT GRP LLC
|
609,500 |
shares
|
5,790,250 | |||||||||
OGX PETROLEO E GAS PART SA
|
394,000 |
shares
|
842,842 | |||||||||
OI SA PN
|
77,200 |
shares
|
313,702 | |||||||||
OI SA SPON ADR
|
63,946 |
shares
|
256,423 | |||||||||
OIL STATES INTERNATIONAL INC
|
54,500 |
shares
|
3,898,930 | |||||||||
OLD MUTUAL PLC (UK)
|
335,865 |
shares
|
972,252 | |||||||||
OLIN CORP
|
151,900 |
shares
|
3,279,521 | |||||||||
OMV AG
|
32,707 |
shares
|
1,180,959 | |||||||||
ONYX PHARMACEUTICALS INC
|
44,000 |
shares
|
3,323,320 | |||||||||
ORACLE CORP
|
131,617 |
shares
|
4,385,478 | |||||||||
ORBITAL SCIENCES CORP
|
260,000 |
shares
|
3,580,200 | |||||||||
ORIENT EXPRESS HOTELS LTD CL A
|
359,400 |
shares
|
4,201,386 | |||||||||
ORIFLAME COSMETICS SDR
|
33,292 |
shares
|
1,057,661 | |||||||||
ORION CORP
|
946 |
shares
|
977,449 | |||||||||
ORION OYJ (NEW) B
|
44,526 |
shares
|
1,303,565 | |||||||||
ORIX CORP
|
31,850 |
shares
|
3,562,377 | |||||||||
OTSUKA HOLDINGS CO LTD
|
50,900 |
shares
|
1,430,029 | |||||||||
OVERSEA-CHINESE BKG CORP LTD
|
131,000 |
shares
|
1,043,453 | |||||||||
PACCAR INC
|
30,380 |
shares
|
1,373,480 | |||||||||
PACWEST BANCORP
|
193,300 |
shares
|
4,789,974 | |||||||||
PAGESJAUNES GROUPE SA
|
109,989 |
shares
|
271,487 | |||||||||
PANASONIC CORP ADR
|
403,399 |
shares
|
2,448,632 | |||||||||
PAREXEL INTERNATIONAL CORP
|
128,800 |
shares
|
3,811,192 | |||||||||
PCCW LTD
|
1,773,000 |
shares
|
777,747 | |||||||||
PDG REALTY SA
|
160,900 |
shares
|
260,112 | |||||||||
PEBBLEBROOK HOTEL TRUST
|
261,800 |
shares
|
6,047,580 | |||||||||
PENNEY (J.C.) CO INC
|
115,000 |
shares
|
2,266,650 | |||||||||
PENSKE AUTOMOTIVE GROUP INC
|
204,400 |
shares
|
6,150,396 | |||||||||
PEOPLES UNITED FINANCIAL INC
|
219,000 |
shares
|
2,647,710 | |||||||||
PEPSICO INC
|
84,300 |
shares
|
5,768,649 | |||||||||
PERRIGO CO (USA)
|
115,584 |
shares
|
12,024,203 | |||||||||
PETROBRAS PN SPON ADR
|
151,600 |
shares
|
2,925,880 | |||||||||
PFIZER INC
|
1,357,734 |
shares
|
34,051,969 | |||||||||
PHILIP MORRIS INTL INC
|
15,776 |
shares
|
1,319,505 | |||||||||
PHILIPS ELEC (KON) (NY REG)
|
711,200 |
shares
|
18,875,248 | |||||||||
PHILIPS ELEC (KON) NV
|
41,918 |
shares
|
1,100,784 | |||||||||
PHILLIPS 66
|
78,593 |
shares
|
4,173,288 | |||||||||
PIRELLI & CO
|
104,225 |
shares
|
1,190,684 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
PITNEY-BOWES INC
|
13,582 |
shares
|
$ | 144,512 | ||||||||
PLATINUM UNDERWRITERS HLDG LTD
|
107,400 |
shares
|
4,940,400 | |||||||||
PNC FINANCIAL SERVICES GRP INC
|
121,648 |
shares
|
7,093,295 | |||||||||
POLSKI KONCERN NAFTOWY ORL SA
|
32,932 |
shares
|
526,674 | |||||||||
POLYCOM INC
|
467,205 |
shares
|
4,886,964 | |||||||||
POST PROPERTIES - REIT
|
36,300 |
shares
|
1,813,185 | |||||||||
POWER CORP OF CANADA SUB VTG
|
22,696 |
shares
|
579,094 | |||||||||
POWER FINANCIAL CORP
|
7,741 |
shares
|
211,988 | |||||||||
PPR SA
|
62,088 |
shares
|
11,543,088 | |||||||||
PRECISION CASTPARTS CORP
|
78,874 |
shares
|
14,940,313 | |||||||||
PRICELINE.COM INC
|
30,628 |
shares
|
19,026,113 | |||||||||
PRIMARIS RETAIL REIT UT
|
23,432 |
shares
|
633,679 | |||||||||
PRIME OFFICE REIT-AG
|
33,875 |
shares
|
144,871 | |||||||||
PROASSURANCE CORPORATION
|
160,000 |
shares
|
6,750,400 | |||||||||
PROCTER & GAMBLE CO
|
125,600 |
shares
|
8,526,984 | |||||||||
PROGRESSIVE CORP OHIO
|
409,502 |
shares
|
8,640,492 | |||||||||
PROLOGIS INC REIT
|
135,766 |
shares
|
4,954,101 | |||||||||
PRUDENTIAL PLC
|
861,162 |
shares
|
12,107,606 | |||||||||
PRYSMIAN SPA
|
11,540 |
shares
|
228,636 | |||||||||
PS BUSINESS PKS INC CA REIT
|
3,720 |
shares
|
241,726 | |||||||||
PSP SWISS PROPERTY AG
|
25,071 |
shares
|
2,372,378 | |||||||||
PUBLIC POWER CORP OF GREECE
|
28,461 |
shares
|
221,270 | |||||||||
PUBLIC STORAGE
|
57,922 |
shares
|
8,396,373 | |||||||||
QLIK TECHNOLOGIES INC
|
300,000 |
shares
|
6,516,000 | |||||||||
QUALCOMM INC
|
293,220 |
shares
|
18,185,504 | |||||||||
QUINTAIN ESTATES & DEV CO PLC
|
293,287 |
shares
|
253,699 | |||||||||
RACKSPACE HOSTING INC
|
84,755 |
shares
|
6,294,754 | |||||||||
RAIFFEISEN BANK INTERNTNL AG
|
18,023 |
shares
|
748,297 | |||||||||
RAKUTEN INC (TOKYO)
|
995,900 |
shares
|
7,747,869 | |||||||||
RALPH LAUREN CORP
|
63,320 |
shares
|
9,492,934 | |||||||||
RANDSTAD HOLDINGS NV
|
10,774 |
shares
|
395,419 | |||||||||
RATOS AB SER B
|
22,135 |
shares
|
212,733 | |||||||||
RAYTHEON CO
|
78,800 |
shares
|
4,535,728 | |||||||||
RED HAT INC
|
156,508 |
shares
|
8,288,664 | |||||||||
REED ELSEVIER NV
|
94,536 |
shares
|
1,395,696 | |||||||||
REGAL-BELOIT CORP
|
127,306 |
shares
|
8,971,254 | |||||||||
REGENCY CENTERS CORP REIT
|
58,816 |
shares
|
2,771,410 | |||||||||
REGIONS FINANCIAL CORP
|
465,993 |
shares
|
3,317,870 | |||||||||
RELIANCE STEEL & ALUMINUM CO
|
85,800 |
shares
|
5,328,180 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
RELIGARE HEALTH TRUST
|
179,000 |
shares
|
$ | 129,684 | ||||||||
RENAISSANCE RE HLDGS LTD
|
129,500 |
shares
|
10,523,170 | |||||||||
RENAULT SA ORD
|
23,001 |
shares
|
1,235,204 | |||||||||
RENT A CTR INC
|
118,900 |
shares
|
4,085,404 | |||||||||
RESEARCH IN MOTION LTD
|
72,241 |
shares
|
858,223 | |||||||||
RESOLUTE FOREST PRODUCTS INC
|
541,000 |
shares
|
7,162,840 | |||||||||
RESONA HOLDINGS INC
|
268,000 |
shares
|
1,212,628 | |||||||||
RETAIL OPPORTUNITY INVTS CORP
|
9,975 |
shares
|
128,279 | |||||||||
REXNORD CORP NEW
|
213,400 |
shares
|
4,545,420 | |||||||||
RICHEMONT CIE FINANCIERE SA A
|
158,555 |
shares
|
12,377,223 | |||||||||
RIOCAN REAL ESTATE INV TR UNIT
|
135,250 |
shares
|
3,747,351 | |||||||||
RITCHIE BROS AUCTIONEERS (USA)
|
148,950 |
shares
|
3,111,566 | |||||||||
ROBERT HALF INTERNATIONAL INC.
|
219,000 |
shares
|
6,968,580 | |||||||||
ROCHE HLDGS GENUSSSCHEINE
|
7,383 |
shares
|
1,485,237 | |||||||||
ROCHE HOLDING LTD SPON ADR
|
210,000 |
shares
|
10,605,000 | |||||||||
ROGERS COMM INC CL B NON VTG
|
60,328 |
shares
|
2,746,131 | |||||||||
ROGERS CORP
|
62,300 |
shares
|
3,093,818 | |||||||||
ROHM CO LTD
|
13,500 |
shares
|
436,157 | |||||||||
ROLLS-ROYCE HOLDINGS PLC
|
860,365 |
shares
|
12,208,210 | |||||||||
ROPER INDUSTRIES INC
|
36,363 |
shares
|
4,053,747 | |||||||||
ROWAN COMPANIES PLC
|
144,000 |
shares
|
4,502,880 | |||||||||
ROYAL BANK OF SCOTLAND GRP PLC
|
159,947 |
shares
|
843,135 | |||||||||
ROYAL CARIBBEAN CRUISES LTD
|
86,000 |
shares
|
2,924,000 | |||||||||
ROYAL DUTCH SHELL SPN ADR CL A
|
86,200 |
shares
|
5,943,490 | |||||||||
RPM INTERNATIONAL INC
|
328,000 |
shares
|
9,630,080 | |||||||||
RTI INTERNATIONAL METALS INC
|
130,900 |
shares
|
3,607,604 | |||||||||
RYDER SYSTEM INC
|
127,200 |
shares
|
6,351,096 | |||||||||
RYMAN HOSPITALITY PPTYS INC
|
99,576 |
shares
|
3,829,693 | |||||||||
SABESP (CIA SANEAM BASIC) SP ADR
|
24,268 |
shares
|
2,028,077 | |||||||||
SAFESTORE HOLDINGS LTD
|
392,744 |
shares
|
689,032 | |||||||||
SALESFORCE.COM INC
|
68,931 |
shares
|
11,587,301 | |||||||||
SALIX PHARMACEUTICALS LTD
|
100,000 |
shares
|
4,048,000 | |||||||||
SALLY BEAUTY HLDGS INC
|
487,800 |
shares
|
11,497,446 | |||||||||
SAMSUNG ELECTRONICS CO LTD
|
6,866 |
shares
|
9,824,802 | |||||||||
SANCHEZ ENERGY CORP
|
126,500 |
shares
|
2,277,000 | |||||||||
SANDERSON FARMS INC
|
60,600 |
shares
|
2,881,530 | |||||||||
SANDVIK AB
|
355,285 |
shares
|
5,654,490 | |||||||||
SANOFI SPON ADR
|
310,040 |
shares
|
14,689,695 | |||||||||
SANRIO CO LTD
|
57,800 |
shares
|
1,830,039 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
of Shares/Par, Rate of Interest, Maturity Date
|
Value
|
Common stock (continued)
|
||||||||||||
SAP AG
|
31,348 |
shares
|
$ | 2,511,218 | ||||||||
SAP AG SPON ADR
|
2,210 |
shares
|
177,640 | |||||||||
SBA COMMUNICATIONS CORP CL A
|
309,775 |
shares
|
22,000,221 | |||||||||
SBI HOLDINGS INC
|
68,000 |
shares
|
598,095 | |||||||||
SCANSOURCE INC
|
104,300 |
shares
|
3,313,611 | |||||||||
SCHIBSTED AS B
|
53,964 |
shares
|
2,286,631 | |||||||||
SCHLUMBERGER LTD
|
278,865 |
shares
|
19,322,555 | |||||||||
SCHWAB CHARLES CORP
|
935,700 |
shares
|
13,436,652 | |||||||||
SCOR SE
|
10,632 |
shares
|
286,428 | |||||||||
SEGRO PLC
|
139,344 |
shares
|
558,197 | |||||||||
SEKISUI CHEMICAL CO LTD
|
26,000 |
shares
|
224,782 | |||||||||
SEKISUI HOUSE LTD
|
98,000 |
shares
|
1,065,574 | |||||||||
SELECTIVE INSURANCE GROUP INC
|
199,700 |
shares
|
3,848,219 | |||||||||
SEMPRA ENERGY
|
64,002 |
shares
|
4,540,302 | |||||||||
SEMTECH CORP
|
192,100 |
shares
|
5,561,295 | |||||||||
SENIOR HOUSING PPTYS TR REIT
|
82,370 |
shares
|
1,947,227 | |||||||||
SERVICE CORP INTERNATIONAL INC
|
384,255 |
shares
|
5,306,562 | |||||||||
SES SA A (LUX)
|
21,951 |
shares
|
628,741 | |||||||||
SEVEN & I HOLDINGS CO LTD
|
83,700 |
shares
|
2,354,440 | |||||||||
SEVEN & I HOLDINGS UNSP ADR
|
2,541 |
shares
|
143,185 | |||||||||
SGS SA (REG)
|
436 |
shares
|
965,764 | |||||||||
SHAFTESBURY PLC
|
23,009 |
shares
|
210,059 | |||||||||
SHIMAO PROPERTY HOLDINGS LTD
|
181,500 |
shares
|
342,353 | |||||||||
SHINSEI BANK LTD
|
69,000 |
shares
|
136,192 | |||||||||
SHIONOGI & CO LTD
|
42,400 |
shares
|
703,282 | |||||||||
SHIRE PLC SPON ADR
|
99,807 |
shares
|
9,200,210 | |||||||||
SHOWA SHELL SEKIYU KK
|
50,000 |
shares
|
281,641 | |||||||||
SIGNATURE BANK
|
75,965 |
shares
|
5,419,343 | |||||||||
SILGAN HOLDINGS INC
|
90,300 |
shares
|
3,755,577 | |||||||||
SILIC (STE IMMOB LOC IND COMM)
|
5,912 |
shares
|
651,987 | |||||||||
SIMON PPTY GROUP INC - REIT
|
108,116 |
shares
|
17,092,058 | |||||||||
SINGAPORE EXCHANGE LTD
|
346,000 |
shares
|
1,985,559 | |||||||||
SINO LAND CO
|
1,704,877 |
shares
|
3,066,242 | |||||||||
SIRONA DENTAL SYSTEMS INC
|
78,000 |
shares
|
5,027,880 | |||||||||
SKANDINAVISKA ENSKI BK SER A
|
126,437 |
shares
|
1,074,194 | |||||||||
SL GREEN REALTY CORP REIT
|
47,292 |
shares
|
3,624,932 | |||||||||
SLM CORP
|
207,500 |
shares
|
3,554,475 | |||||||||
SMA SOLAR TECHNOLOGY AG
|
45,721 |
shares
|
1,147,243 | |||||||||
SMC CORP
|
36,600 |
shares
|
6,573,510 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
SOC QUIMICA Y MIN CH PFD B ADR
|
46,800 |
shares
|
$ | 2,697,552 | ||||||||
SOCIETE GENERALE PARIS CL A
|
141,653 |
shares
|
5,298,868 | |||||||||
SODEXO
|
14,200 |
shares
|
1,194,322 | |||||||||
SOFTBANK CORP
|
203,300 |
shares
|
7,368,407 | |||||||||
SOLARWINDS INC
|
101,000 |
shares
|
5,297,450 | |||||||||
SOLERA HOLDINGS INC
|
206,000 |
shares
|
11,014,820 | |||||||||
SOLVAY CL A
|
3,218 |
shares
|
464,475 | |||||||||
SONAE SIERRA BRASIL
|
19,100 |
shares
|
300,842 | |||||||||
SONY CORP
|
84,000 |
shares
|
928,862 | |||||||||
SONY CORP ADR
|
90,700 |
shares
|
1,015,840 | |||||||||
SONY FINANCIAL HOLDINGS INC
|
38,500 |
shares
|
684,365 | |||||||||
SOUTH JERSEY INDUSTRIES INC
|
64,900 |
shares
|
3,266,417 | |||||||||
SOUTHWEST AIRLINES CO
|
1,585,100 |
shares
|
16,231,424 | |||||||||
SOVRAN SELF STORAGE REIT
|
2,670 |
shares
|
165,807 | |||||||||
SPAR GROUP LTD
|
103,268 |
shares
|
1,606,120 | |||||||||
SPECTRA ENERGY CORP
|
212,500 |
shares
|
5,818,250 | |||||||||
SPECTRUM BRANDS HOLDINGS INC
|
84,700 |
shares
|
3,805,571 | |||||||||
SPIRIT AEROSYSTEM HLD INC CL A
|
68,900 |
shares
|
1,169,233 | |||||||||
SPLUNK INC
|
96,997 |
shares
|
2,814,853 | |||||||||
SPONDA OYJ
|
53,770 |
shares
|
255,505 | |||||||||
SPRINT NEXTEL CORP
|
2,200,000 |
shares
|
12,474,000 | |||||||||
ST JOE COMPANY
|
136,000 |
shares
|
3,138,880 | |||||||||
ST MODWEN PROPERTIES PLC
|
83,139 |
shares
|
310,222 | |||||||||
STANDARD CHARTERED PLC (UK)
|
479,349 |
shares
|
12,252,506 | |||||||||
STANDARD LIFE PLC
|
314,958 |
shares
|
1,699,135 | |||||||||
STAPLES INC
|
384,617 |
shares
|
4,384,634 | |||||||||
STARBUCKS CORP
|
57,312 |
shares
|
3,073,069 | |||||||||
STARWOOD HTLS & RESRT WRLDWIDE
|
55,399 |
shares
|
3,177,687 | |||||||||
STARWOOD PROPERTY TRUST INC
|
10,175 |
shares
|
233,618 | |||||||||
STARZ - LIBERTY CAPITAL A
|
13,000 |
shares
|
1,508,130 | |||||||||
STATE STREET CORP
|
34,743 |
shares
|
1,633,268 | |||||||||
STE DE LA TOUR EIFFEL
|
1,519 |
shares
|
89,223 | |||||||||
STIFEL FINANCIAL CORP
|
67,500 |
shares
|
2,157,975 | |||||||||
STMICROELECTRONICS NV (NY REG)
|
104,993 |
shares
|
760,149 | |||||||||
STMICROELECTRONICS NV(SICOVAM)
|
37,111 |
shares
|
262,950 | |||||||||
STOCKLAND UNITS (STAPLED)
|
287,819 |
shares
|
1,055,066 | |||||||||
SUMITOMO ELECTRIC INDS LTD
|
102,500 |
shares
|
1,168,927 | |||||||||
SUMITOMO MITSUI FINL GROUP INC
|
185,300 |
shares
|
6,662,544 | |||||||||
SUMITOMO MITSUI TR HLDGS INC
|
40,000 |
shares
|
138,974 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
SUMITOMO REALTY & DEV CO LTD
|
142,000 |
shares
|
$ | 4,666,405 | ||||||||
SUMITOMO RUBBER INDUSTRIES LTD
|
39,900 |
shares
|
476,672 | |||||||||
SUN HUNG KAI PROPERTIES LTD
|
1,038,028 |
shares
|
15,562,016 | |||||||||
SUN LIFE FINANCIAL INC
|
59,339 |
shares
|
1,573,107 | |||||||||
SUNTEC REIT
|
256,000 |
shares
|
351,029 | |||||||||
SUNTRUST BANKS INC
|
130,000 |
shares
|
3,685,500 | |||||||||
SUPERIOR ENERGY SERVICES INC
|
254,806 |
shares
|
5,279,580 | |||||||||
SURGUTNEFTEGAZ SPON ADR (USA)
|
87,722 |
shares
|
791,252 | |||||||||
SURGUTNEFTEGAZ SPON ADR PFD DT
|
230,300 |
shares
|
1,529,192 | |||||||||
SUSQUEHANNA BANCSHARES INC PA
|
404,800 |
shares
|
4,242,304 | |||||||||
SUZUKEN CO LTD
|
21,500 |
shares
|
602,799 | |||||||||
SUZUKI MOTOR CORP
|
41,900 |
shares
|
1,084,317 | |||||||||
SVB FINL GROUP
|
70,900 |
shares
|
3,968,273 | |||||||||
SVENSKA CELLULOSA AB CL B
|
48,966 |
shares
|
1,061,671 | |||||||||
SVENSKA HANDELSBANKEN SER A
|
237,169 |
shares
|
8,475,597 | |||||||||
SWATCH GROUP AG (BR)
|
9,625 |
shares
|
4,853,277 | |||||||||
SWATCH GROUP AG (REG)
|
9,268 |
shares
|
797,961 | |||||||||
SWEDBANK AB A
|
162,988 |
shares
|
3,182,992 | |||||||||
SWIRE PACIFIC LTD CL A
|
50,500 |
shares
|
624,502 | |||||||||
SWIRE PROPERTIES LTD
|
672,600 |
shares
|
2,243,200 | |||||||||
SWISS LIFE HLDGS AG (NEW)
|
5,985 |
shares
|
794,379 | |||||||||
SWISS PRIME SITE AG
|
8,269 |
shares
|
690,251 | |||||||||
SWISS RE LTD
|
57,544 |
shares
|
4,146,012 | |||||||||
SYDNEY AIRPORT STAPLE UNIT
|
65,065 |
shares
|
228,376 | |||||||||
SYMANTEC CORP
|
400,000 |
shares
|
7,524,000 | |||||||||
SYNGENTA AG (SWIT)
|
23,577 |
shares
|
9,449,875 | |||||||||
SYNGENTA AG SPONS ADR
|
99,802 |
shares
|
8,064,002 | |||||||||
SYNOPSYS INC
|
140,000 |
shares
|
4,457,600 | |||||||||
T&D HOLDINGS INC
|
67,800 |
shares
|
814,680 | |||||||||
TAIWAN SEMIC MFG CO LTD SP ADR
|
207,000 |
shares
|
3,552,120 | |||||||||
TAL INTL GROUP INC
|
153,700 |
shares
|
5,591,606 | |||||||||
TANGER FACTORY OUTLET - REIT
|
38,100 |
shares
|
1,303,020 | |||||||||
TARGET CORP
|
65,740 |
shares
|
3,889,836 | |||||||||
TAUBMAN CENTERS INC
|
29,600 |
shares
|
2,330,112 | |||||||||
TAV HAVALIMANLARI HOLDING ASA
|
46,084 |
shares
|
235,593 | |||||||||
TCF FINANCIAL CORPORATION
|
183,800 |
shares
|
2,233,170 | |||||||||
TE CONNECTIVITY LTD
|
250,500 |
shares
|
9,298,560 | |||||||||
TEAM HEALTH HOLDINGS INC
|
345,200 |
shares
|
9,931,404 | |||||||||
TECHNE CORP
|
65,231 |
shares
|
4,457,887 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
TELECOM ITALIA SPA
|
2,154,366 |
shares
|
$ | 1,942,217 | ||||||||
TELEKOM INDO SER B SPON ADR
|
33,699 |
shares
|
1,245,178 | |||||||||
TELEKOM MALAYSIA BHD
|
350,900 |
shares
|
693,079 | |||||||||
TENCENT HOLDINGS LIMITED
|
747,644 |
shares
|
24,018,443 | |||||||||
TERADATA CORP
|
160,438 |
shares
|
9,929,508 | |||||||||
TERADYNE INC
|
471,700 |
shares
|
7,967,013 | |||||||||
TERUMO CORP
|
13,000 |
shares
|
510,937 | |||||||||
TETRA TECH INC
|
86,900 |
shares
|
2,298,505 | |||||||||
TEVA PHARMACEUTICAL IND LTD
|
225 |
shares
|
8,367 | |||||||||
TEXAS CAPITAL BANCSHARES INC
|
78,900 |
shares
|
3,536,298 | |||||||||
TEXAS INSTRUMENTS INC
|
91,000 |
shares
|
2,815,540 | |||||||||
THE FOSCHINI GROUP LTD
|
84,959 |
shares
|
1,410,555 | |||||||||
THERMO FISHER SCIENTIFIC INC
|
124,548 |
shares
|
7,943,671 | |||||||||
TIME WARNER CABLE
|
203,300 |
shares
|
19,758,727 | |||||||||
TIME WARNER INC
|
498,548 |
shares
|
23,845,551 | |||||||||
TITAN INTERNATIONAL INC
|
219,700 |
shares
|
4,771,884 | |||||||||
TJX COMPANIES INC NEW
|
274,374 |
shares
|
11,647,176 | |||||||||
TOFAS TURK OTOMOBIL FABRIKASI
|
37,818 |
shares
|
221,530 | |||||||||
TOKIO MARINE HOLDINGS INC
|
30,100 |
shares
|
827,937 | |||||||||
TOKYO TATEMONO CO
|
203,000 |
shares
|
1,028,649 | |||||||||
TOKYU LAND CORP
|
46,000 |
shares
|
332,383 | |||||||||
TOTVS SA
|
11,800 |
shares
|
232,773 | |||||||||
TOYODA GOSEI CO
|
11,200 |
shares
|
224,814 | |||||||||
TOYOTA MOTOR CORP
|
77,600 |
shares
|
3,587,326 | |||||||||
TOYOTA MOTOR CORP ADR 2
|
81,800 |
shares
|
7,627,850 | |||||||||
TOYOTA TSUSHO CORP
|
24,400 |
shares
|
595,390 | |||||||||
TRANSDIGM GROUP INC
|
54,000 |
shares
|
7,363,440 | |||||||||
TRANSOCEAN LTD
|
35,861 |
shares
|
1,601,194 | |||||||||
TRAVELERS COMPANIES INC
|
223,127 |
shares
|
16,024,981 | |||||||||
TRIMAS CORP
|
165,422 |
shares
|
4,625,199 | |||||||||
TRIMBLE NAVIGATION LTD
|
70,000 |
shares
|
4,184,600 | |||||||||
TRUEBLUE INC
|
78,000 |
shares
|
1,228,500 | |||||||||
TRYG AS
|
3,422 |
shares
|
258,210 | |||||||||
TSUMURA & CO
|
10,600 |
shares
|
319,340 | |||||||||
TUI AG
|
16,028 |
shares
|
166,055 | |||||||||
TUI TRAVEL PLC
|
109,523 |
shares
|
502,609 | |||||||||
TURK HAVA YOLLARI AO
|
164,100 |
shares
|
575,838 | |||||||||
TURKIYE GARANTI BANKASI AS
|
1,881,363 |
shares
|
9,765,644 | |||||||||
TURKIYE HALK BANKASI
|
27,629 |
shares
|
271,032 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
TURKIYE IS BANKASI AS C
|
299,581 |
shares
|
$ | 1,037,815 | ||||||||
TYCO INTL LTD
|
75,000 |
shares
|
2,193,750 | |||||||||
UDR INC
|
138,630 |
shares
|
3,296,621 | |||||||||
ULTIMATE SOFTWARE GROUP INC
|
71,600 |
shares
|
6,759,756 | |||||||||
UMICORE SA
|
22,781 |
shares
|
1,253,609 | |||||||||
UNIBAIL-RODAMCO
|
38,568 |
shares
|
9,262,680 | |||||||||
UNICHARM CORP
|
800 |
shares
|
41,507 | |||||||||
UNICREDIT SPA
|
2,884,909 |
shares
|
14,112,210 | |||||||||
UNILEVER NV (NY REGD)
|
71,297 |
shares
|
2,730,675 | |||||||||
UNILEVER PLC SPONS ADR
|
90,000 |
shares
|
3,484,800 | |||||||||
UNION PACIFIC CORP
|
191,638 |
shares
|
24,092,730 | |||||||||
UNITE GROUP PLC
|
96,626 |
shares
|
433,692 | |||||||||
UNITED INTERNET AG (REG)
|
10,204 |
shares
|
219,676 | |||||||||
UNITED NATURAL FOODS INC
|
110,600 |
shares
|
5,927,054 | |||||||||
UNITED TECHNOLOGIES CORP
|
246,362 |
shares
|
20,204,148 | |||||||||
UNITED TRACTORS PT
|
175,500 |
shares
|
358,739 | |||||||||
UNITED URBAN INVESTMENT CORP
|
524 |
shares
|
599,998 | |||||||||
UNITEDHEALTH GROUP INC
|
207,218 |
shares
|
11,239,504 | |||||||||
UOL GROUP LIMITED
|
75,000 |
shares
|
366,543 | |||||||||
URS CORP NEW
|
117,900 |
shares
|
4,628,754 | |||||||||
US BANCORP DEL
|
285,433 |
shares
|
9,116,730 | |||||||||
UTI WORLDWIDE INC
|
345,000 |
shares
|
4,623,000 | |||||||||
VALE S.A.
|
111,900 |
shares
|
2,310,687 | |||||||||
VALE S.A. PFD A
|
169,000 |
shares
|
3,373,397 | |||||||||
VALE SA SPONS PREF ADR
|
347,800 |
shares
|
7,060,340 | |||||||||
VALERO ENERGY CORP
|
222,500 |
shares
|
7,591,700 | |||||||||
VALIDUS HOLDING
|
148,100 |
shares
|
5,121,298 | |||||||||
VANGUARD HEALTH SYSTEMS INC
|
190,500 |
shares
|
2,333,625 | |||||||||
VANTIV INC
|
212,000 |
shares
|
4,329,040 | |||||||||
VASTNED RETAIL NV
|
2,050 |
shares
|
88,618 | |||||||||
VCA ANTECH INC
|
171,200 |
shares
|
3,603,760 | |||||||||
VENTAS INC REIT
|
53,842 |
shares
|
3,484,654 | |||||||||
VERIFONE SYSTEMS INC
|
266,192 |
shares
|
7,900,579 | |||||||||
VERISIGN INC
|
265,505 |
shares
|
10,306,905 | |||||||||
VERTEX PHARMACEUTICALS INC
|
176,641 |
shares
|
7,408,324 | |||||||||
VIEWPOINT FINANCIAL GROUP
|
129,145 |
shares
|
2,704,296 | |||||||||
VISA INC CL A
|
188,805 |
shares
|
28,619,062 | |||||||||
VIVENDI
|
9,095 |
shares
|
203,484 | |||||||||
VMWARE INC CL A
|
96,913 |
shares
|
9,123,390 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
VODAFONE GROUP PLC SPON ADR
|
175,000 |
shares
|
$ | 4,408,250 | ||||||||
VOESTALPINE AG
|
26,148 |
shares
|
954,659 | |||||||||
VOLCANO CORP
|
125,000 |
shares
|
2,951,250 | |||||||||
VOLKSWAGEN AG
|
31,594 |
shares
|
6,787,082 | |||||||||
VOLKSWAGEN AG SPONS ADR
|
15,477 |
shares
|
672,785 | |||||||||
VORNADO REALTY TRUST
|
147,988 |
shares
|
11,850,879 | |||||||||
VULCAN MATERIALS CO
|
164,800 |
shares
|
8,577,840 | |||||||||
WABCO HOLDINGS INC
|
100,000 |
shares
|
6,519,000 | |||||||||
WAL MART STORES INC
|
152,000 |
shares
|
10,370,960 | |||||||||
WALGREEN CO
|
241,850 |
shares
|
8,950,869 | |||||||||
WASHINGTON FEDERAL INC
|
121,800 |
shares
|
2,054,766 | |||||||||
WASHINGTON POST CO CL B
|
30,500 |
shares
|
11,138,905 | |||||||||
WATSCO INC
|
51,000 |
shares
|
3,819,900 | |||||||||
WEIGHT WATCHERS INTL INC
|
72,356 |
shares
|
3,788,560 | |||||||||
WEINGARTEN REALTY INVS REIT
|
123,800 |
shares
|
3,314,126 | |||||||||
WELLS FARGO
|
911,218 |
shares
|
31,145,431 | |||||||||
WELLS FARGO
|
100 |
shares
|
122,500 | |||||||||
WERELDHAVE NV
|
1,499 |
shares
|
94,973 | |||||||||
WERNER ENTERPRISES INC
|
121,200 |
shares
|
2,626,404 | |||||||||
WESCO INTERNATIONAL INC
|
167,500 |
shares
|
11,294,525 | |||||||||
WEST PHARMACEUTICAL SVCS INC
|
58,400 |
shares
|
3,197,400 | |||||||||
WESTERN UNION CO
|
227,000 |
shares
|
3,089,470 | |||||||||
WESTFIELD GROUP STAPLED UNIT
|
897,158 |
shares
|
9,838,263 | |||||||||
WESTFIELD RETAIL TR STAPLED UT
|
1,530,006 |
shares
|
4,798,281 | |||||||||
WEX INC
|
145,000 |
shares
|
10,928,650 | |||||||||
WEYERHAEUSER CO
|
226,500 |
shares
|
6,301,230 | |||||||||
WHARF HOLDINGS LTD
|
611,770 |
shares
|
4,783,123 | |||||||||
WHEELOCK & CO LTD
|
213,000 |
shares
|
1,071,753 | |||||||||
WHITBREAD PLC
|
40,968 |
shares
|
1,628,490 | |||||||||
WHITEWAVE FOODS CO
|
240,000 |
shares
|
3,729,600 | |||||||||
WHITING PETROLEUM CORP
|
115,000 |
shares
|
4,987,550 | |||||||||
WHOLE FOODS MARKET INC
|
103,038 |
shares
|
9,410,461 | |||||||||
WILEY (JOHN) & SONS INC CL A
|
111,800 |
shares
|
4,352,374 | |||||||||
WINTHROP REALTY TRUST NEW
|
17,680 |
shares
|
195,364 | |||||||||
WNS HLDGS LTD SP ADR
|
395,985 |
shares
|
4,126,164 | |||||||||
WOLTERS KLUWER NV
|
31,122 |
shares
|
635,705 | |||||||||
WOODSIDE PETROLEUM LTD
|
85,400 |
shares
|
3,004,601 | |||||||||
WOODWARD INC
|
145,500 |
shares
|
5,547,915 | |||||||||
WOOLWORTHS HOLDINGS LTD
|
151,009 |
shares
|
1,264,717 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||
WORKDAY INC
|
36,822 |
shares
|
$ | 2,006,799 | ||||||||
WPX ENERGY INC
|
595,200 |
shares
|
8,856,576 | |||||||||
XEROX CORP
|
775,000 |
shares
|
5,285,499 | |||||||||
XL GROUP PLC
|
548,225 |
shares
|
13,738,519 | |||||||||
YAMADA DENKI CO LTD
|
42,280 |
shares
|
1,622,681 | |||||||||
YAMANA GOLD INC
|
455,900 |
shares
|
7,846,039 | |||||||||
YARA INTERNATIONAL ASA
|
13,894 |
shares
|
684,482 | |||||||||
YOUKU TUDOU INC ADR
|
139,231 |
shares
|
2,539,573 | |||||||||
YUM BRANDS INC
|
132,811 |
shares
|
8,818,650 | |||||||||
ZIONS BANCORP
|
232,500 |
shares
|
4,975,500 | |||||||||
ZURICH INSURANCE GROUP AG
|
12,097 |
shares
|
3,219,166 | |||||||||
4,650,005,837 | ||||||||||||
Preferred stock
|
||||||||||||
BMW AG (BAYER MTR WKS) NVTG PFD
|
5,167 |
shares
|
332,518 | |||||||||
CITIGROUP CAP XIII 7.875% PFD
|
104,500 |
shares
|
2,915,550 | |||||||||
HENKEL AG & CO KGAA PREF
|
7,286 |
shares
|
598,187 | |||||||||
INTESA SANPAOLO SPA N/C RISP
|
248,129 |
shares
|
349,462 | |||||||||
PORSCHE AUTO HLDG NON-VTG PFD
|
90,130 |
shares
|
7,340,269 | |||||||||
PROSIEBEN SAT.1 MEDIA AG PFD
|
18,314 |
shares
|
514,897 | |||||||||
TELECOM ITALIA SPA RISP
|
1,223,478 |
shares
|
964,921 | |||||||||
VOLKSWAGEN AG PFD
|
27,827 |
shares
|
6,323,112 | |||||||||
19,338,916 | ||||||||||||
Common collective trusts
|
||||||||||||
BTC ACWI XUS INDEX FUND
|
19,418,678 |
units
|
376,916,534 | |||||||||
BTC RUSSELL 1000 INDX FD
|
86,341,885 |
units
|
1,412,553,246 | |||||||||
BTC RUSSELL 2500 INDEX FD
|
35,675,064 |
units
|
518,715,425 | |||||||||
BTC US DEBT INDEX FUND
|
16,198,417 |
units
|
451,287,892 | |||||||||
INVESTEC GLBL NATRL RES FD
|
730,084 |
units
|
75,235,189 | |||||||||
JP MORGAN FOCUS FD
|
13,138,288 |
units
|
236,620,573 | |||||||||
LAZARD EMERG MKTS COLL TR
|
13,767,584 |
units
|
236,389,423 | |||||||||
3,307,718,282 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt
|
|||||||||
ADT CORP
|
$800,000 principal, 4.88%, due 7/15/42
|
$ | 757,156 | ||||||
AEGON NV GLBL
|
$825,000 principal, 4.63%, due 12/01/15
|
899,294 | |||||||
AEGON NV GLBL
|
$6,105,000 principal, 4.75%, due 6/01/13
|
6,199,096 | |||||||
AID
|
$200,000 principal, 5.50%, due 9/18/33
|
268,775 | |||||||
AIG INTL
|
$6,275,000 principal, 4.25%, due 9/15/14
|
6,610,079 | |||||||
AIG INTL
|
$700,000 principal, 6.25%, due 5/01/36
|
898,141 | |||||||
AIG INTL
|
$800,000 principal, 6.40%, due 12/15/20
|
991,742 | |||||||
AIG INTL
|
$100,000 principal, 8.18%, due 5/15/68
|
130,250 | |||||||
AIG INTL
|
$1,475,000 principal, 8.25%, due 8/15/18
|
1,937,253 | |||||||
ALABAMA POWER
|
$100,000 principal, 6.13%, due 5/15/38
|
131,876 | |||||||
ALCOA INC GLB
|
$500,000 principal, 5.95%, due 2/1/37
|
481,844 | |||||||
ALLGHNY ENGY SUP
|
$300,000 principal, 6.75%, due 10/15/39
|
327,937 | |||||||
ALLY FINL FRN
|
$300,000 principal, 3.49%, due 2/11/14
|
306,000 | |||||||
ALLY FINL INC
|
$9,600,000 principal, 4.50%, due 2/11/14
|
9,816,000 | |||||||
ALTRIA GROUP INC
|
$900,000 principal, 10.20%, due 2/6/39
|
1,502,003 | |||||||
ALTRIA GROUP INC
|
$200,000 principal, 9.95%, due 11/10/38
|
328,710 | |||||||
AMERADA HESS CO
|
$100,000 principal, 7.30%, due 8/15/31
|
134,383 | |||||||
AMERICA MOVIL
|
$200,000 principal, 6.13%, due 11/15/37
|
259,304 | |||||||
AMERICA MOVL
|
$100,000 principal, 6.13%, due 3/30/40
|
131,191 | |||||||
AMERICAN HONDA
|
$2,000,000 principal, 1.50%, due 9/11/17
|
1,998,724 | |||||||
AMEX
|
$810,000 principal, 4.05%, due 12/03/42
|
810,971 | |||||||
AMGEN
|
$2,000,000 principal, 5.15%, due 11/15/41
|
2,244,062 | |||||||
AMGEN
|
$100,000 principal, 6.90%, due 6/01/38
|
133,829 | |||||||
AMGEN INC
|
$800,000 principal, 5.65%, due 6/15/42
|
957,731 | |||||||
AMGEN INC
|
$100,000 principal, 6.38%, due 6/01/37
|
125,473 | |||||||
ANADARKO FIN CO
|
$100,000 principal, 7.50%, due 5/01/31
|
132,029 | |||||||
ANADARKO MTN
|
$800,000 principal, 6.20%, due 3/15/40
|
984,082 | |||||||
ANADARKO PETRO
|
$1,600,000 principal, 6.45%, due 9/15/36
|
1,999,358 | |||||||
ANHEUSER BUSCH
|
$100,000 principal, 6.38%, due 1/15/40
|
138,543 | |||||||
AOL TIME WARNER
|
$3,550,000 principal, 7.63%, due 4/15/31
|
4,876,908 | |||||||
AOL TIME WARNER
|
$725,000 principal, 7.70%, due 5/01/32
|
1,011,469 | |||||||
APPALACHIAN PWR
|
$240,000 principal, 6.70%, due 8/15/37
|
314,082 | |||||||
APPALACHIAN PWR
|
$500,000 principal, 7.00%, due 4/1/38
|
678,709 | |||||||
ARCELORMITTA
|
$800,000 principal, 7.25%, due 10/15/39
|
750,422 | |||||||
ASTRAZENECA PLC
|
$110,000 principal, 6.45%, due 9/15/37
|
148,580 | |||||||
AT&T BROAD GLBL
|
$200,000 principal, 9.46%, due 11/15/22
|
302,069 | |||||||
AT&T CORP
|
$1,150,000 principal, 8.50%, due 11/15/31
|
1,736,536 | |||||||
AT&T INC
|
$6,900,000 principal, 2.50%, due 8/15/15
|
7,193,236 | |||||||
AT&T INC
|
$16,000 principal, 4.30%, due 12/15/42
|
16,019 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
AT&T INC
|
$630,000 principal, 4.35%, due 06/15/45
|
$ | 630,753 | ||||||
AT&T INC
|
$1,613,000 principal, 5.35%, due 9/01/40
|
1,872,946 | |||||||
AT&T INC
|
$1,100,000 principal, 5.55%, due 8/15/41
|
1,316,252 | |||||||
AT&T INC
|
$690,000 principal, 6.50%, due 9/01/37
|
900,073 | |||||||
AT&T INC
|
$125,000 principal, 6.55%, due 2/15/39
|
163,823 | |||||||
BAC CAP TR XI
|
$800,000 principal, 6.63%, due 5/23/36
|
896,674 | |||||||
BANCO BRASIL
|
$100,000 principal, 6.00%, due 1/22/20
|
116,250 | |||||||
BANCO NACIONAL
|
$100,000 principal, 5.50%, due 7/12/20
|
117,000 | |||||||
BANCO SANT MX
|
$600,000 principal, 4.13%, due 11/09/22
|
607,500 | |||||||
BANCO SANTAND
|
$2,200,000 principal, 4.50%, due 4/6/15
|
2,277,000 | |||||||
BANCO SANTD FRN
|
$1,500,000 principal, 1.90%, due 1/19/16
|
1,451,250 | |||||||
BANCO VOTORANTIM
|
$300,000 principal, 5.25%, due 2/11/16
|
315,750 | |||||||
BANK AMER
|
$2,300,000 principal, 5.65%, due 5/01/18
|
2,674,918 | |||||||
BANK AMER GMTN
|
$17,240,000 principal, 7.38%, due 5/15/14
|
18,668,282 | |||||||
BANK AMER NA
|
$200,000 principal, VAR, due 6/15/16
|
190,947 | |||||||
BANK AMER NA
|
$1,040,000 principal, 5.30%, due 3/15/17
|
1,169,342 | |||||||
BANK AMER NA
|
$40,000 principal, 6.00%, due 10/15/36
|
48,884 | |||||||
BANK OF AMER MTN
|
$6,295,000 principal, 7.63%, due 6/1/19
|
8,054,899 | |||||||
BANK ONE CAP III
|
$160,000 principal, 8.75%, due 9/1/30
|
219,748 | |||||||
BARCLAYS
|
$80,000 principal, 10.18%, due 6/12/21
|
108,914 | |||||||
BARCLAYS BANK
|
$8,525,000 principal, 2.38%, due 1/13/14
|
8,668,902 | |||||||
BARRICK GOLD
|
$1,100,000 principal, 5.25%, due 4/01/42
|
1,206,157 | |||||||
BARRICK GOLD
|
$10,000 principal, 5.80%, due 11/15/34
|
10,884 | |||||||
BARRICK PD AUST
|
$100,000 principal, 5.95%, due 10/15/39
|
115,182 | |||||||
BERKSHIRE HAT FIN
|
$5,000,000 principal, 1.50%, due 1/10/14
|
5,056,290 | |||||||
BG ENERGY
|
$1,200,000 principal, 5.13%, due 10/15/41
|
1,396,981 | |||||||
BHP BILLITON FIN
|
$3,701,000 principal, 5.50%, due 4/01/14
|
3,931,161 | |||||||
BLACKROCK INC
|
$5,185,000 principal, 1.38%, due 6/01/15
|
5,265,523 | |||||||
BLUEM05-1A A1F
|
$240,157 principal, VAR, due 11/15/17
|
237,530 | |||||||
BNSF RAILWAY CO
|
$901,073 principal, 6.00%, due 4/01/24
|
1,072,011 | |||||||
BOSTON PPTY LTD
|
$675,000 principal, 3.85%, due 2/01/23
|
708,265 | |||||||
BOSTON PPTY LTD
|
$380,000 principal, 5.00%, due 6/01/15
|
415,126 | |||||||
BOSTON PPTY LTD
|
$755,000 principal, 5.63%, due 4/15/15
|
829,039 | |||||||
BOSTON PPTY LTD MTN
|
$1,900,000 principal, 4.13%, due 5/15/21
|
2,062,929 | |||||||
BOSTON PT LTD MTN
|
$200,000 principal, 5.88%, due 10/15/19
|
238,290 | |||||||
BOSTON SCIENTIFIC
|
$250,000 principal, 6.00%, due 1/15/20
|
291,374 | |||||||
BOSTON SCIENTIFIC
|
$400,000 principal, 7.38%, due 1/15/40
|
544,220 | |||||||
BOSTON SCIENTIFIC
|
$525,000 principal, 5.45%, due 6/15/14
|
558,144 | |||||||
BOSTON SCIENTIFIC
|
$4,355,000 principal, 5.50%, due 11/15/15
|
4,906,495 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
BP CAP MKTS
|
$1,000,000 principal, 3.25%, due 5/6/22
|
$ | 1,052,318 | ||||||
BRFKREDIT
|
$600,000 principal, VAR, due 4/15/13
|
600,022 | |||||||
BURLINGTON
|
$68,005 principal, 8.25%, due 1/15/21
|
82,719 | |||||||
BURLINGTON NO
|
$240,767 principal, 7.57%, due 1/2/21
|
292,732 | |||||||
BURLINGTON NOR
|
$1,500,000 principal, 5.05%, due 3/01/41
|
1,697,749 | |||||||
BURLINGTON NOR MTN
|
$1,965,000 principal, 4.70%, due 10/1/19
|
2,263,309 | |||||||
BURLINGTON NORTH
|
$1,000,000 principal, 4.40%, due 3/15/42
|
1,046,305 | |||||||
BURLINGTON NORTH
|
$200,000 principal, 4.30%, due 7/01/13
|
203,707 | |||||||
BURLINGTON NORTH
|
$1,400,000 principal, 4.10%, due 6/01/21
|
1,559,950 | |||||||
BURLINGTON NORTH
|
$5,571,000 principal, 7.00%, due 2/1/14
|
5,947,087 | |||||||
BURLINGTON SANTA
|
$1,400,000 principal, 4.88%, due 1/15/15
|
1,512,344 | |||||||
CAMERON INTL CORP
|
$300,000 principal, 5.95%, due 6/1/41
|
373,673 | |||||||
CAN NATURL RES GLB
|
$900,000 principal, 6.25%, due 3/15/38
|
1,156,364 | |||||||
CANADA NAT RES
|
$200,000 principal, 6.75%, due 2/01/39
|
268,544 | |||||||
CAPITAL ONE FIN
|
$2,090,000 principal, 3.15%, due 7/15/16
|
2,218,328 | |||||||
CAPITAL ONE FIN
|
$600,000 principal, 4.75%, due 7/15/21
|
691,207 | |||||||
CAPITAL ONE FIN
|
$2,570,000 principal, 6.75%, due 9/15/17
|
3,137,651 | |||||||
CAPITAL ONE FIN
|
$7,815,000 principal, 7.38%, due 5/23/14
|
8,501,376 | |||||||
CATERPILLAR INC
|
$3,465,000 principal, 0.95%, due 6/26/15
|
3,493,933 | |||||||
CATERPILLAR INC
|
$3,100,000 principal, 1.38%, due 5/27/14
|
3,137,749 | |||||||
CATERPILLAR FIN MTN
|
$5,000,000 principal, 1.38%, due 5/20/14
|
5,060,730 | |||||||
CENOVUS ENERGY
|
$100,000 principal, 6.75%, due 11/15/39
|
135,002 | |||||||
CENTERPOINT ENG
|
$300,000 principal, 5.85%, due 1/15/41
|
378,598 | |||||||
CHAIT 2012-A8 A
|
$3,800,000 principal, 0.54%, due 10/16/17
|
3,795,250 | |||||||
CHUBB CORP
|
$100,000 principal, 6.50%, due 5/15/38
|
137,760 | |||||||
CIGNA
|
$8,400,000 principal, 2.75%, due 11/15/16
|
8,833,734 | |||||||
CIGNA
|
$700,000 principal, 8.50%, due 5/01/19
|
919,872 | |||||||
CIGNA CORP
|
$1,475,000 principal, 6.15%, due 11/15/36
|
1,793,560 | |||||||
CIGNA MTN
|
$1,885,000 principal, 5.13%, due 6/15/20
|
2,149,266 | |||||||
CIT
|
$200,000 principal, 5.25%, due 4/01/14
|
207,000 | |||||||
CITIGROUP
|
$13,775,000 principal, 4.75%, due 5/19/15
|
14,848,940 | |||||||
CITIGROUP
|
$400,000 principal, 5.88%, due 5/29/37
|
480,077 | |||||||
CITIGROUP
|
$200,000 principal, 6.88%, due 3/05/38
|
262,613 | |||||||
CITIGROUP INC
|
$300,000 principal, 1.73%, due 1/13/14
|
302,759 | |||||||
CITIGROUP INC
|
$1,475,000 principal, 1.99%, due 5/15/18
|
1,486,498 | |||||||
CITIGROUP INC
|
$1,600,000 principal, 4.59%, due 12/15/15
|
1,746,654 | |||||||
CITIGROUP INC
|
$3,625,000 principal, 6.13%, due 11/21/17
|
4,312,833 | |||||||
CITIGROUP INC MTN
|
$300,000 principal, 8.50%, due 5/22/19
|
403,097 | |||||||
CITIGROUP MTN
|
$1,275,000 principal, 6.01%, due 1/15/15
|
1,393,131 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
CITIGROUP MTN
|
$1,700,000 principal, 8.13%, due 7/15/39
|
$ | 2,538,591 | ||||||
CLECO PWR LLC
|
$100,000 principal, 6.00%, due 12/1/40
|
118,464 | |||||||
CLIFFS NATURAL MTN
|
$900,000 principal, 6.25%, due 10/1/40
|
875,306 | |||||||
CNP 2009-1 A1
|
$2,786,532 principal, 1.83%, due 2/15/16
|
2,829,347 | |||||||
CODELCO INC
|
$400,000 principal, 4.25%, due 7/17/42
|
407,179 | |||||||
COMCAST CORP
|
$1,300,000 principal, 4.65%, due 7/15/42
|
1,366,036 | |||||||
COMCAST CORP
|
$6,000,000 principal, 5.85%, due 11/15/15
|
6,828,672 | |||||||
COMCAST CORP
|
$300,000 principal, 6.30%, due 11/15/17
|
367,903 | |||||||
COMCAST CORP
|
$100,000 principal, 6.55%, due 7/1/39
|
130,926 | |||||||
COMCAST CORP
|
$30,000 principal, 6.95%, due 8/15/37
|
40,578 | |||||||
COMCAST CORP GLB
|
$2,125,000 principal, 5.88%, due 2/15/18
|
2,559,807 | |||||||
COMCAST CORP MTN
|
$1,200,000 principal, 6.40%, due 3/1/40
|
1,550,108 | |||||||
COMET 2006-A5
|
$10,000,000 principal, 5.32%, due 1/15/16
|
9,999,790 | |||||||
COMWLTH EDISON
|
$2,000,000 principal, 1.63%, due 1/15/14
|
2,021,500 | |||||||
CONOCOPHILLIPS
|
$6,000,000 principal, 4.60%, due 1/15/15
|
6,483,792 | |||||||
CONSOLIDAT EDIS
|
$200,000 principal, 6.75%, due 4/1/38
|
285,143 | |||||||
COVIDIEN INT
|
$500,000 principal, 6.00%, due 10/15/17
|
605,423 | |||||||
COX COMMUNICATION INC
|
$1,000,000 principal, 9.38%, due 1/15/19
|
1,374,020 | |||||||
COX COMMUNICATION INC
|
$1,200,000 principal, 6.45%, due 12/1/36
|
1,477,181 | |||||||
COX COMMUNICATION INC
|
$1,487,000 principal, 5.45%, due 12/15/14
|
1,621,700 | |||||||
COX COMMUNICATION INC
|
$3,800,000 principal, 5.50%, due 10/01/15
|
4,266,784 | |||||||
CREDIT SUISSE M
|
$9,095,000 principal, 5.50%, due 5/1/14
|
9,677,016 | |||||||
CREDIT SUISSE N
|
$2,500,000 principal, 2.20%, due 1/14/14
|
2,538,150 | |||||||
CROWN CSTL MTN
|
$735,000 principal, 6.11%, due 1/15/20
|
884,570 | |||||||
CSN RESOURCES SA
|
$200,000 principal, 6.50%, due 7/21/20
|
217,000 | |||||||
CSX CORP
|
$230,000 principal, 6.15%, due 5/1/37
|
290,011 | |||||||
CSX CORP MTN
|
$500,000 principal, 5.50%, due 4/15/41
|
597,332 | |||||||
CSX TRANSN INC
|
$629,609 principal, 8.38%, due 10/15/14
|
698,866 | |||||||
CVS CAREM
|
$282,619 principal, 7.51%, due 1/10/32
|
372,555 | |||||||
CVS PASS THRU
|
$392,431 principal, 5.93%, due 1/10/34
|
472,189 | |||||||
CVS PASS THRU
|
$749,294 principal, 8.35%, due 7/10/31
|
1,033,150 | |||||||
DAIMLER FIN NOR
|
$1,100,000 principal, 0.00%, due 10/15/13
|
1,088,197 | |||||||
DEUTSCHE TEL GLB
|
$1,000,000 principal, 8.75%, due 6/15/30
|
1,495,256 | |||||||
DEVON ENERGY CO
|
$700,000 principal, 4.75%, due 5/15/42
|
746,586 | |||||||
DISCOVERY COMML
|
$800,000 principal, 4.95%, due 5/15/42
|
852,466 | |||||||
DISNEY (WALT) MTN
|
$5,400,000 principal, 1.10%, due 12/1/17
|
5,409,266 | |||||||
DNB BK ASA MTN
|
$1,000,000 principal, 3.20%, due 4/3/17
|
1,064,720 | |||||||
DORIC NIMROD
|
$200,000 principal, 5.13%, due 11/30/24
|
209,000 | |||||||
DOW CHEMICAL
|
$650,000 principal, 7.38%, due 11/01/29
|
859,375 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
DOW CHEMICAL
|
$2,516,000 principal, 8.55%, due 5/15/19
|
$ | 3,394,328 | ||||||
DOW CHEMICAL
|
$1,250,000 principal, 9.40%, due 5/15/39
|
2,052,984 | |||||||
DOW CHEMICAL COMPANY
|
$775,000 principal, 5.70%, due 5/15/18
|
921,339 | |||||||
DOW CHEMICAL MTN
|
$5,778,000 principal, 5.90%, due 2/15/15
|
6,374,064 | |||||||
DUKE ENERGY CAR
|
$100,000 principal, 6.05%, due 4/15/38
|
130,640 | |||||||
EDF
|
$100,000 principal, 6.95%, due 1/26/39
|
133,365 | |||||||
EKSPORTFINANS ASA
|
$100,000 principal, VAR, due 4/5/13
|
99,528 | |||||||
EKSPORTFINANS GLB
|
$200,000 principal, 5.50%, due 6/26/17
|
210,485 | |||||||
EKSPORTFINANS MTN
|
$300,000 principal, 3.00%, due 11/17/14
|
297,620 | |||||||
EKSPORTFINS ANS MTN
|
$200,000 principal, 2.00%, due 9/15/15
|
191,433 | |||||||
ENBRIDGE ENERGY
|
$100,000 principal, 7.50%, due 4/15/38
|
127,567 | |||||||
ENCANA CORP
|
$1,000,000 principal, 5.15%, due 11/15/41
|
1,071,799 | |||||||
ENCANA CORP
|
$200,000 principal, 6.50%, due 8/15/34
|
245,010 | |||||||
ENEL FIN INTL
|
$975,000 principal, 6.00%, due 10/7/39
|
941,805 | |||||||
ENERGY TRAN PTNR
|
$100,000 principal, 6.63%, due 10/15/36
|
117,137 | |||||||
ENERGY TRANSFER
|
$500,000 principal, 7.50%, due 7/1/38
|
645,040 | |||||||
ENTERPRISE PRD
|
$1,500,000 principal, 4.45%, due 2/15/43
|
1,514,022 | |||||||
ENTERPRISE PRODS
|
$10,000 principal, 5.75%, due 3/1/35
|
11,371 | |||||||
EXP-IMP BANK KOREA
|
$6,075,000 principal, 4.00%, due 1/11/17
|
6,607,170 | |||||||
EXP-IMP BANK KOREA
|
$4,200,000 principal, 5.00%, due 4/11/22
|
232,860 | |||||||
FED DEPT ST
|
$2,895,000 principal, 6.90%, due 4/01/29
|
3,492,899 | |||||||
FEDERATED RETL HLD
|
$4,950,000 principal, 5.90%, due 12/1/16
|
5,816,319 | |||||||
FEDEX CORP
|
$3,050,000 principal, 7.38%, due 1/15/14
|
3,259,206 | |||||||
FIRSTENERGY GL
|
$210,000 principal, 7.38%, due 11/15/31
|
270,655 | |||||||
FLORIDA PWR & LT
|
$100,000 principal, 5.95%, due 2/01/38
|
132,742 | |||||||
FLORIDA PWR
|
$110,000 principal, 6.35%, due 9/15/37
|
147,308 | |||||||
FORD MOTOR
|
$1,800,000 principal, 7.45%, due 7/16/31
|
2,286,000 | |||||||
FORD MTR CR
|
$1,700,000 principal, 8.70%, due 10/01/14
|
1,903,969 | |||||||
FORD MTR CR GLB
|
$100,000 principal, 7.00%, due 10/01/13
|
104,510 | |||||||
FORD MTR CR LLC
|
$1,400,000 principal, 4.25%, due 9/20/22
|
1,478,687 | |||||||
FORD MTR CR LLC
|
$4,875,000 principal, 5.63%, due 9/15/15
|
5,338,290 | |||||||
FORD MTR CR LLC
|
$2,500,000 principal, 5.75%, due 2/01/21
|
2,878,315 | |||||||
FORD MTR CREDIT CO LLC
|
$100,000 principal, 8.00%, due 6/1/14
|
109,039 | |||||||
FRANCE TELECOM STEP
|
$200,000 principal, 8.50%, due 3/01/31
|
298,755 | |||||||
GAZ CAP SA LU
|
$1,100,000 principal, 5.09%, due 11/29/15
|
1,178,518 | |||||||
GAZ CAP (GAZPROM)
|
$100,000 principal, 6.51%, due 3/7/22
|
119,250 | |||||||
GAZ CAPITAL
|
$300,000 principal, 8.63%, due 4/28/34
|
431,751 | |||||||
GE CAP CORP
|
$300,000 principal, 5.88% due 1/14/38
|
360,905 | |||||||
GE CAP CORP MTN
|
$7,500,000 principal, 2.15%, due 1/09/15
|
7,703,055 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
GE CAP FUND EMTN
|
$3,800,000 principal, 4.88%, due 3/6/13
|
$ | 5,054,482 | ||||||
GE CAP MTN
|
$6,400,000 principal, 3.05%, due 6/29/15
|
6,800,294 | |||||||
GE CAP MTN
|
$2,950,000 principal, 5.50%, due 1/08/20
|
3,489,045 | |||||||
GE CAP MTN
|
$1,100,000 principal, 6.75%, due 3/15/32
|
1,425,406 | |||||||
GECAP
|
$100,000 principal, 6.15%, due 8/07/37
|
123,993 | |||||||
GECAP MTN
|
$100,000 principal, 6.88%, due 1/10/39
|
135,569 | |||||||
GEMNT 2011-1 A
|
$10,000,000 principal, VAR, due 1/15/17
|
10,050,220 | |||||||
GENERAL ELEC
|
$925,000 principal, 4.38%, due 9/16/20
|
1,031,389 | |||||||
GENERAL ELEC CAP4
|
$875,000 principal, 4.65%, due 10/17/21
|
997,384 | |||||||
GENERAL ELEC MTN
|
$5,040,000 principal, 3.35%, due 10/17/16
|
5,408,323 | |||||||
GEORGIA PAC
|
$600,000 principal, 5.40%, due 11/1/20
|
713,780 | |||||||
GERDAU TRDE
|
$1,600,000 principal, 5.75%, due 1/30/21
|
1,760,000 | |||||||
GMAC LLC
|
$200,000 principal, 6.75%, due 12/01/14
|
216,000 | |||||||
GOLDMAN SACH GLB
|
$5,000,000 principal, 5.25%, due 10/15/13
|
5,175,060 | |||||||
GOLDMAN SACHS
|
$310,000 principal, 6.13%, due 2/15/33
|
362,023 | |||||||
GOLDMAN SACHS FRN
|
$200,000 principal, 0.70%, due 7/22/15
|
196,244 | |||||||
GOLDMAN SACHS GLB
|
$1,500,000 principal, 7.50%, due 2/15/19
|
1,886,040 | |||||||
GSINC
|
$300,000 principal, 0.78%, due 1/12/15
|
295,832 | |||||||
GSINC
|
$100,000 principal, 6.75%, due 10/01/37
|
113,059 | |||||||
GSINC
|
$1,000,000 principal, 0.88%, due 9/29/14
|
995,826 | |||||||
HBOS PLC
|
$250,000 principal, 6.00%, due 11/1/33
|
225,918 | |||||||
HBOS PLC
|
$200,000 principal, 6.75%, due 5/21/18
|
215,250 | |||||||
HCA INC
|
$1,950,000 principal, 5.75%, due 3/15/14
|
2,037,750 | |||||||
HCA INC
|
$1,900,000 principal, 6.50%, due 2/15/16
|
2,075,750 | |||||||
HCA INC
|
$500,000 principal, 6.75%, due 2/1/41
|
645,488 | |||||||
HEALTHNET INC
|
$1,025,000 principal, 6.38%, due 6/1/17
|
1,087,781 | |||||||
HEINEKEN NV
|
$1,600,000 principal, 1.40%, due 10/1/17
|
1,594,586 | |||||||
HEINZ HJ FIN
|
$200,000 principal, 7.13%, due 8/1/39
|
275,336 | |||||||
* |
HEWLETT-PACKARD
|
$1,325,000 principal, 3.30%, due 12/09/16
|
1,348,307 | ||||||
* |
HEWLETT-PACKARD
|
$3,300,000 principal, 6.13%, due 3/01/14
|
3,469,016 | ||||||
* |
HEWLETT-PACKARD
|
$3,600,000 principal, 2.65%, due 6/1/16
|
3,591,331 | ||||||
HSBC BANK USA
|
$30,000 principal, 5.88%, due 11/1/34
|
35,126 | |||||||
HSBC BK USA
|
$3,647,000 principal, 4.63%, due 4/1/14
|
3,809,995 | |||||||
HSBC BNK PLC MTN
|
$3,662,000 principal, 3.50%, due 6/28/15
|
3,884,009 | |||||||
HSBC HOLDINGS PLC
|
$3,450,000 principal, 6.50%, due 5/02/36
|
4,299,601 | |||||||
HSBC HOLDINGS PLC
|
$1,875,000 principal, 6.50%, due 9/15/37
|
2,334,345 | |||||||
HSBC HOLDINGS PLC
|
$200,000 principal, 6.80%, due 6/01/38
|
255,116 | |||||||
HSBC HOLDINGS PLC
|
$1,350,000 principal, 5.10%, due 4/05/21
|
1,592,653 | |||||||
HSBC USA INC
|
$5,075,000 principal, 2.38%, due 2/13/15
|
5,219,957 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
HYUNDAI CAP AM
|
$1,000,000 principal, 1.63%, due 10/2/15
|
$ | 1,005,928 | ||||||
ING BANK NV
|
$900,000 principal, 1.68%, due 6/9/14
|
907,836 | |||||||
ING BK NV
|
$6,650,000 principal, 3.90%, due 3/19/14
|
6,913,347 | |||||||
INTL LEASE FIN
|
$200,000 principal, 6.38%, due 3/25/13
|
202,100 | |||||||
ITAU UNIBANCO CD
|
$1,300,000 principal, 0.00%, due 10/31/13
|
1,284,338 | |||||||
ITAU UNI
|
$1,000,000 principal, 5.13%, due 5/13/23
|
1,023,750 | |||||||
JOHN DEERE CAP
|
$3,900,000 principal, 0.70%, due 9/04/15
|
3,899,583 | |||||||
JPMCC
|
$518,333 principal, 0.57%, due 7/15/19
|
504,813 | |||||||
JPMCC
|
$400,000 principal, 4.10%, due 7/15/46
|
450,546 | |||||||
JPMC CO
|
$1,200,000 principal, 4.40%, due 7/22/20
|
1,353,380 | |||||||
JPMC CO
|
$1,100,000 principal, 6.40%, due 5/15/38
|
1,470,544 | |||||||
JPMC CO MTN
|
$10,000,000 principal, 1.88%, due 3/20/15
|
10,179,130 | |||||||
JPMORGAN CHASE
|
$1,300,000 principal, 6.00%, due 10/1/17
|
1,538,475 | |||||||
JPMORGAN CHASE
|
$7,980,000 principal, 3.45%, due 3/1/16
|
8,472,805 | |||||||
JPMORGAN CHASE
|
$1,575,000 principal, 4.35%, due 8/15/21
|
1,759,434 | |||||||
JPMORGAN CHASE
|
$1,650,000 principal, 4.95%, due 3/25/20
|
1,912,183 | |||||||
JPMORGAN CHASE
|
$600,000 principal, 5.40%, due 1/06/42
|
720,887 | |||||||
KAUPTHING MTN
|
$1,125,000 principal, 7.13%, due 5/19/16
|
14,063 | |||||||
KINDER MORGAN
|
$200,000 principal, 5.80%, due 3/15/35
|
227,321 | |||||||
KINDER MORGAN EN
|
$1,300,000 principal, 5.00%, due 08/15/42
|
1,373,622 | |||||||
KOREA NATL HSG
|
$2,575,000 principal, 4.88%, due 9/10/14
|
2,724,559 | |||||||
KRAFT FOODS GRP
|
$600,000 principal, 5.00%, due 6/4/42
|
672,634 | |||||||
KRAFT FOODS GRP
|
$1,295,000 principal, 6.50%, due 2/2/40
|
1,697,424 | |||||||
KRAFT FOODS INC
|
$500,000 principal, 7.00%, due 8/11/37
|
692,004 | |||||||
LAFARGE SA
|
$9,350,000 principal, 5.50%, due 7/09/15
|
10,098,000 | |||||||
LAFARGE SA
|
$1,470,000 principal, 6.50%, due 7/15/16
|
1,642,725 | |||||||
LEGG MASON INC
|
$1,825,000 principal, 5.50%, due 5/21/19
|
1,965,968 | |||||||
LENNAR CORP
|
$1,300,000 principal, 5.60%, due 5/31/15
|
1,384,500 | |||||||
LIBERTY MEDIA
|
$90,000 principal, 8.25%, due 2/01/30
|
98,100 | |||||||
LIBERTY MEDIA
|
$260,000 principal, 8.50%, due 7/15/29
|
281,450 | |||||||
LLOYDS TSB MTN
|
$100,000 principal, 12.00%, due 12/31/49
|
115,669 | |||||||
MACYS RETAIL HL
|
$275,000 principal, 8.38%, due 7/15/15
|
320,357 | |||||||
MAJAPAHIT HLDG
|
$1,000,000 principal, 7.75%, due 1/20/20
|
1,257,500 | |||||||
MAY DEPT
|
$100,000 principal, 6.70%, due 7/15/34
|
118,669 | |||||||
MAY DEPT STORES
|
$1,461,000 principal, 6.70%, due 9/15/28
|
1,695,254 | |||||||
MAY DEPT STORES
|
$100,000 principal, 6.90%, due 1/15/32
|
119,125 | |||||||
MAY DEPT STR GLBL
|
$675,000 principal, 6.65%, due 7/15/24
|
836,133 | |||||||
MBNAS
|
$5,736,000 principal, 0.32%, due 10/15/15
|
5,734,222 | |||||||
MERRILL LYNCH
|
$4,000,000 principal, 6.15%, due 4/25/13
|
4,064,224 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
MERRILL LYNCH
|
$3,000,000 principal, 6.88%, due 11/15/18
|
$ | 3,670,848 | ||||||
MET LIFE GLBL MTN
|
$12,500,000 principal, 2.00%, due 1/10/14
|
12,678,463 | |||||||
METLIFE INC
|
$500,000 principal, 6.38%, due 6/15/34
|
650,815 | |||||||
MOLSON COORS BRW
|
$600,000 principal, 5.00%, due 5/1/42
|
670,345 | |||||||
MORGAN STANLEY
|
$1,400,000 principal, 6.38%, due 7/24/42
|
1,636,743 | |||||||
MORGAN STANLEY GBL
|
$100,000 principal, 6.63%, due 4/1/18
|
117,815 | |||||||
MSTDW
|
$700,000 principal, 7.25%, due 4/01/32
|
878,768 | |||||||
NBCUNIVERSAL MED
|
$400,000 principal, 5.95%, due 4/1/41
|
489,017 | |||||||
NBCUNIVERSAL MED
|
$200,000 principal, 6.40%, due 4/30/40
|
255,917 | |||||||
NEWMONT MINING
|
$1,000,000 principal, 6.25%, due 10/1/39
|
1,201,116 | |||||||
NEWS AMER INC
|
$800,000 principal, 6.15%, due 2/15/41
|
1,010,399 | |||||||
NEWS AMER INC
|
$700,000 principal, 6.40%, due 12/15/35
|
866,783 | |||||||
NEWS AMER INC
|
$1,375,000 principal, 6.65%, due 11/15/37
|
1,772,174 | |||||||
NGPL PIPECO
|
$1,000,000 principal, 7.77%, due 12/15/37
|
1,050,000 | |||||||
NOKIA CORP
|
$100,000 principal, 6.63%, due 5/15/39
|
89,750 | |||||||
NORDEA BK AG
|
$4,000,000 principal, 2.13%, due 1/14/14
|
4,038,188 | |||||||
NORDEA BK FRN
|
$1,100,000 principal, 1.18%, due 1/14/14
|
1,107,963 | |||||||
NORDSTROM INC
|
$500,000 principal, 6.95%, due 3/15/28
|
657,086 | |||||||
NORDSTROM INC GLB
|
$800,000 principal, 6.25%, due 1/15/18
|
969,540 | |||||||
NORDSTROM MTN
|
$1,791,000 principal, 6.75%, due 6/1/14
|
1,942,843 | |||||||
NORFOLK SOUTHERN
|
$475,000 principal, 7.70%, due 5/15/17
|
599,382 | |||||||
NORFOLKS MTN
|
$175,000 principal, 5.90%, due 6/15/19
|
213,148 | |||||||
NORTHERN NATION
|
$1,600,000 principal, 4.10%, due 9/15/42
|
1,601,808 | |||||||
NWSTRN MUT
|
$100,000 principal, 6.06%, due 3/30/40
|
127,310 | |||||||
OMX TIMBER
|
$1,000,000 principal, 5.42%, due 1/29/20
|
1,099,700 | |||||||
ONTARIO PROVINCE
|
$200,000 principal, 4.40%, due 4/14/20
|
235,321 | |||||||
PACIFIC GAS & ELE
|
$500,000 principal, 6.25%, due 3/1/39
|
658,576 | |||||||
PACIFIC LIF INS
|
$1,100,000 principal, 9.25%, due 6/15/39
|
1,534,726 | |||||||
PERNOD RICARD
|
$500,000 principal, 5.50%, due 1/15/42
|
580,968 | |||||||
PETROBRAS INTL
|
$1,625,000 principal, 5.38%, due 1/27/21
|
1,829,458 | |||||||
PETROBRAS INTL
|
$200,000 principal, 6.88%, due 1/20/40
|
255,800 | |||||||
PETROLEOS MEX
|
$1,000,000 principal, 6.50%, due 6/02/41
|
1,255,000 | |||||||
PETROLEOS MEXICANOS
|
$100,000 principal, 8.00%, due 5/3/19
|
130,750 | |||||||
PFIZER
|
$600,000 principal, 7.20%, due 3/15/39
|
917,384 | |||||||
PG&E
|
$310,000 principal, 6.05%, due 3/01/34
|
398,416 | |||||||
PHILIP MOR INT
|
$100,000 principal, 6.38%, due 5/16/38
|
135,801 | |||||||
PIONEER NATL RE
|
$500,000 principal, 3.95%, due 7/15/22
|
523,369 | |||||||
PLAINS AA PIP
|
$500,000 principal, 6.65%, due 1/15/37
|
653,103 | |||||||
PLAINS AA PIP/F
|
$1,000,000 principal, 4.30%, due 1/31/43
|
997,714 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
PLAINS AA PIPELINE
|
$800,000 principal, 5.15%, due 6/1/42
|
$ | 898,575 | ||||||
POTASH CORP
|
$200,000 principal, 5.63%, due 12/1/40
|
242,341 | |||||||
PPG INDUSTRS INC
|
$200,000 principal, 5.50%, due 11/15/40
|
231,818 | |||||||
PRIDE INTL INC
|
$700,000 principal, 7.88%, due 8/15/40
|
1,024,115 | |||||||
PRIVATE EXPORT
|
$800,000 principal, 4.30%, due 12/15/21
|
965,501 | |||||||
PROGRESS ENERGY
|
$100,000 principal, 7.75%, due 3/01/31
|
136,327 | |||||||
PROGRESS ENERGY
|
$700,000 principal, 4.10%, due 5/15/42
|
714,077 | |||||||
PROVIDENT COMPANY
|
$471,000 principal, 7.25%, due 3/15/28
|
553,827 | |||||||
PROVIDENT COS
|
$300,000 principal, 7.00%, due 7/15/18
|
356,283 | |||||||
PRUDENTIAL FINAN
|
$200,000 principal, 6.20%, due 11/15/40
|
241,256 | |||||||
PUGET ENERGY IN
|
$300,000 principal, 6.00%, due 9/01/21
|
330,831 | |||||||
RABOBANK NL UTREC MTN
|
$10,000,000 principal, 1.85%, due 1/10/14
|
10,132,940 | |||||||
RABOBANK NLD MTN
|
$800,000 principal, 5.25%, due 5/24/41
|
936,594 | |||||||
RBS GPR PLC
|
$1,700,000 principal, 6.13%, due 12/15/22
|
1,792,444 | |||||||
RBS PLC
|
$7,145,000 principal, 4.38%, due 3/16/16
|
7,729,104 | |||||||
RBS PLC
|
$400,000 principal, 6.13%, due 1/11/21
|
482,830 | |||||||
RCI BANQUE SA
|
$2,000,000 principal, 3.40%, due 4/11/14
|
2,031,808 | |||||||
REED ELSEVIER
|
$5,490,000 principal, 7.75%, due 1/15/14
|
5,878,813 | |||||||
REED ELSEVIER C
|
$2,025,000 principal, 8.63%, due 1/15/19
|
2,609,229 | |||||||
REPUBLIC NY CORP
|
$550,000 principal, 9.50%, due 4/15/14
|
601,968 | |||||||
ROCKIES EXP
|
$900,000 principal, 6.88%, due 4/15/40
|
810,000 | |||||||
ROYAL BK OF SCOT MTN
|
$1,500,000 principal, 5.63%, due 8/24/20
|
1,739,919 | |||||||
SBAP 2004-20L
|
$55,601 principal, 4.87%, due 12/1/24
|
62,626 | |||||||
SBAP 2005-20A
|
$28,401 principal, 4.86%, due 1/1/25
|
31,723 | |||||||
SBAP 2005-20E
|
$22,690 principal, 4.84%, due 5/1/25
|
25,410 | |||||||
SBAP 2006-20J
|
$525,863 principal, 5.37%, due 10/1/26
|
602,012 | |||||||
SBAP 2006-20L
|
$566,546 principal, 5.12%, due 12/1/26
|
637,703 | |||||||
SHELL INTL FIN
|
$5,000,000 principal, 1.13%, due 8/21/17
|
5,021,650 | |||||||
SHELL INTL FIN
|
$6,800,000 principal, 3.10%, due 6/28/15
|
7,203,138 | |||||||
SHELL INTL FIN
|
$400,000 principal, 3.63%, due 8/21/42
|
395,112 | |||||||
SHELL INTL FIN
|
$100,000 principal, 5.50%, due 3/25/40
|
128,016 | |||||||
SLM CORP MEDIUM
|
$2,000,000 principal, 8.45%, due 6/15/18
|
2,340,000 | |||||||
SLM CORP MTN
|
$300,000 principal, 5.63%, due 8/01/33
|
278,250 | |||||||
SLM CORP MTN
|
$1,475,000 principal, 6.00%, due 1/25/17
|
1,596,688 | |||||||
SLM CORP MTN
|
$1,000,000 principal, 8.00%, due 3/25/20
|
1,140,000 | |||||||
SLMA 2006-10 A4
|
$1,235,832 principal, 0.37%, due 7/25/23
|
1,231,445 | |||||||
SLMA 2006-3 A4
|
$493,569 principal, 0.38%, due 7/25/19
|
491,930 | |||||||
SLMA 2007-2 A2
|
$615,792 principal, 0.30%, due 7/25/17
|
614,881 | |||||||
SLMA 2007-3 A2
|
$456,369 principal, 0.31%, due 10/25/17
|
455,591 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
SLMA 2008-5 A3
|
$9,503,000 principal, 1.60%, due 1/25/18
|
$ | 9,718,280 | ||||||
SLMA 2008-9 A 3
|
$191,630 principal, 1.80%, due 4/25/23
|
200,009 | |||||||
SLMA 2012-6 A1
|
$2,695,637 principal, 0.36%, due 2/27/17
|
2,695,671 | |||||||
SLMA 2012-7 A2
|
$5,000,000 principal, 0.48%, due 9/25/19
|
4,996,331 | |||||||
SLMA 2012-B A2
|
$2,700,000 principal, 3.48%, due 10/15/30
|
2,860,735 | |||||||
SOUTHERN CAL ED
|
$100,000 principal, 5.55%, due 1/15/37
|
123,914 | |||||||
SOUTHERN CAL ED
|
$130,000 principal, 5.63%, due 2/1/36
|
164,076 | |||||||
SOUTHWESTERN EN
|
$100,000 principal, 4.10%, due 3/15/22
|
107,450 | |||||||
SPRINT CAP GLBL
|
$250,000 principal, 6.90%, due 5/01/19
|
272,500 | |||||||
SPRINT NEXTEL
|
$2,125,000 principal, 6.00%, due 12/01/16
|
2,310,938 | |||||||
SSIF NV LP
|
$1,800,000 principal, 1.01%, due 4/14 /14
|
1,810,078 | |||||||
ST PAUL TRAVELERS
|
$3,785,000 principal, 5.50%, due 12/1/15
|
4,283,662 | |||||||
STATOIL ASA
|
$400,000 principal, 4.25,% due 11/23/41
|
428,972 | |||||||
STONE STRT TR
|
$1,500,000 principal, 5.90%, due 12/15/15
|
1,641,990 | |||||||
SUMITOMO BK
|
$10,000,000 principal, 1.95%, due 1/14/14
|
10,100,240 | |||||||
SUNAMERICA INC
|
$700,000 principal, 5.60%, due 7/31/97
|
665,416 | |||||||
TARGET CORP
|
$700,000 principal, 4.00%, due 7/01/42
|
716,792 | |||||||
TEACHERS INS
|
$100,000 principal, 6.85%, due 12/16/39
|
135,261 | |||||||
TECK RESOURCES
|
$500,000 principal, 6.25%, due 7/15/41
|
586,529 | |||||||
TELECOM ITALIA
|
$1,200,000 principal, 7.00%, due 6/4/18
|
1,371,600 | |||||||
TELECOM ITALIA CAP
|
$1,575,000 principal, 7.18%, due 6/18/19
|
1,827,788 | |||||||
TELECOM ITALIA MTN
|
$950,000 principal, 6.18%, due 6/18/14
|
1,001,300 | |||||||
TENN VLY AUTH
|
$100,000 principal, 4.63%, due 9/15/60
|
119,286 | |||||||
TIME WARNER CAB
|
$600,000 principal, 5.88%, due 11/15/40
|
697,172 | |||||||
TIME WARNER CAB
|
$825,000 principal, 8.75%, due 2/14/19
|
1,112,278 | |||||||
TIME WARNER CBL
|
$200,000 principal, 6.55%, due 5/1/37
|
246,817 | |||||||
TIME WARNER INC
|
$9,700,000 principal, 3.15%, due 7/15/15
|
10,256,945 | |||||||
TIME WARNER INC
|
$100,000 principal, 6.20%, due 3/15/40
|
122,127 | |||||||
TIME WARNER MTN
|
$7,950,000 principal, 7.50%, due 4/1/14
|
8,614,254 | |||||||
TIME WARNER MTN
|
$3,250,000 principal, 8.25%, due 4/1/19
|
4,324,895 | |||||||
TIME WARNER INC
|
$200,000 principal, 4.90%, due 6/15/42
|
213,899 | |||||||
TIME WARNER INC
|
$900,000 principal, 5.38%, due 10/15/41
|
1,002,425 | |||||||
TIME WARNER INC
|
$1,800,000 principal, 6.10%, due 7/15/40
|
2,173,282 | |||||||
TIME WARNER INC
|
$100,000 principal, 6.25%, due 3/29/41
|
123,128 | |||||||
TRANSCANADA PIPE
|
$100,000 principal, 7.63%, due 1/15/39
|
150,040 | |||||||
TRANS-CANADA PL GLB
|
$200,000 principal, 7.25%, due 8/15/38
|
288,522 | |||||||
TRANSCONT GAS
|
$200,000 principal, 4.45%, due 8/1/42
|
205,224 | |||||||
TRANSNEFT
|
$200,000 principal, 7.70%, due 8/07/13
|
207,504 | |||||||
TRANSOCEAN INC
|
$600,000 principal, 6.80%, due 3/15/38
|
732,658 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
TRAVELERS COS
|
$1,000,000 principal, 3.90%, due 11/01/20
|
$ | 1,128,512 | ||||||
TRAVELERS MTN
|
$150,000 principal, 5.75%, due 12/15/17
|
182,108 | |||||||
TURLOCK CORP
|
$3,100,000 principal, 1.50%, due 11/2/17
|
3,105,180 | |||||||
TURLOCK CORP
|
$875,000 principal, 2.75%, due 11/2/22
|
871,255 | |||||||
UBS AG STAMFORD
|
$3,000,000 principal, 2.25%, due 1/28/14
|
3,043,320 | |||||||
UNION PAC
|
$2,068,436 principal, 6.18%, due 1/2/31
|
2,556,090 | |||||||
UNION PAC
|
$544,400 principal, 5.87%, due 7/02/30
|
637,838 | |||||||
UNION PAC CORP
|
$100,000 principal, 6.15%, due 5/1/37
|
130,206 | |||||||
UNION PACIFIC
|
$9,365,000 principal, 4.88%, due 1/15/15
|
10,126,403 | |||||||
UNION PACIFIC
|
$203,122 principal, 7.60%, due 1/2/20
|
246,729 | |||||||
UNION PACIFIC PTC
|
$707,456 principal, 4.70%, due 1/2/24
|
787,999 | |||||||
UNION PACIFIC PTC
|
$246,937 principal, 5.08%, due 1/2/29
|
282,911 | |||||||
UNITED MEXICAN
|
$800,000 principal, 5.13%, due 1/15/20
|
952,000 | |||||||
UNITEDHEALTH
|
$400,000 principal, 4.63%, due 11/15/41
|
425,734 | |||||||
UNUM CORP
|
$191,000 principal, 6.75%, due 12/15/28
|
222,048 | |||||||
UNUMPROVIDENT
|
$125,000 principal, 6.85%, due 11/15/15
|
141,427 | |||||||
UPAC
|
$700,000 principal, 4.16%, due 7/15/22
|
790,971 | |||||||
VALE OVERSEAS
|
$200,000 principal, 6.88%, due 11/10/39
|
250,110 | |||||||
VERIZON COM
|
$2,350,000 principal, 1.95%, due 3/28/14
|
2,392,488 | |||||||
VERIZON COM INC
|
$400,000 principal, 6.90%, due 4/15/38
|
567,762 | |||||||
VERIZON COM INC
|
$300,000 principal, 7.35%, due 4/1/39
|
443,529 | |||||||
VERIZON COM INC
|
$700,000 principal, 6.00%, due 4/01/41
|
910,965 | |||||||
VERIZON GLBL
|
$130,000 principal, 5.85%, due 9/15/35
|
162,882 | |||||||
VIRGINIA ELEC PWR
|
$240,000 principal, 6.00%, due 5/15/37
|
314,584 | |||||||
VODAFONE
|
$200,000 principal, 6.15%, due 2/27/37
|
263,829 | |||||||
VULCAN MATERIAL
|
$525,000 principal, 6.50%, due 12/01/16
|
578,813 | |||||||
VULCAN MATERIAL
|
$1,225,000 principal, 7.50%, due 6/15/21
|
1,396,500 | |||||||
WACHOVIA BK NA
|
$300,000 principal, 5.85%, due 2/1/37
|
371,222 | |||||||
WACHOVIA BK NA
|
$725,000 principal, 0.00%, due 6/11/15
|
869,103 | |||||||
WACHOVIA CORP MTN
|
$550,000 principal, 5.75%, due 2/1/18
|
658,686 | |||||||
WALMART
|
$400,000 principal, 6.20%, due 4/15/38
|
542,044 | |||||||
WALMART
|
$400,000 principal, 6.50%, due 8/15/37
|
560,965 | |||||||
WALMART STORES
|
$900,000 principal, 5.63%, due 4/15/41
|
1,175,068 | |||||||
WELLPOINT INC
|
$800,000 principal, 4.63%, due 5/15/42
|
823,714 | |||||||
WELLPOINT INC
|
$1,835,000 principal, 7.00%, due 2/15/19
|
2,281,755 | |||||||
WELLPOINT INC
|
$5,000,000 principal, 5.88%, due 6/15/17
|
5,932,520 | |||||||
WELLPOINT INC
|
$3,000,000 principal, 5.25%, due 1/15/16
|
3,342,396 | |||||||
WELLS FARGO
|
$6,000,000 principal, 3.63%, due 4/15/15
|
6,376,506 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||
WELLS FARGO
|
$1,000,000 principal, 3.68%, due 6/15/16
|
$ | 1,080,823 | ||||||
WEYERHAEUSER
|
$1,100,000 principal, 7.38%, due 3/15/32
|
1,383,130 | |||||||
WILLIAMS COS
|
$124,000 principal, 8.75%, due 3/15/32
|
171,880 | |||||||
WILLIAMS COS GLB
|
$495,000 principal, 7.50%, due 1/15/31
|
617,603 | |||||||
WILLIAMS PARTNER
|
$500,000 principal, 6.30%, due 4/15/40
|
609,611 | |||||||
WOODSIDE FIN
|
$3,250,000 principal, 4.50%, due 11/10/14
|
3,437,580 | |||||||
WYETH
|
$100,000 principal, 5.95%, due 4/01/37
|
133,033 | |||||||
WYETH
|
$500,000 principal, 6.50%, due 2/01/34
|
681,846 | |||||||
XEROX CORP
|
$8,000,000 principal, 2.95%, due 3/15/17
|
8,205,592 | |||||||
XEROX CORP
|
$1,475,000 principal, 4.50%, due 5/15/21
|
1,560,274 | |||||||
XEROX CORP
|
$650,000 principal, 6.35%, due 5/15/18
|
749,369 | |||||||
XEROX CORP
|
$2,875,000 principal, 6.40%, due 3/15/16
|
3,238,992 | |||||||
XEROX CORP
|
$875,000 principal, 6.75%, due 2/01/17
|
1,017,410 | |||||||
799,249,981 | |||||||||
U.S. Government securities
|
|||||||||
CWALT
|
$54,113 principal, 0.48%, due 2/25/37
|
34,136 | |||||||
DBUBS
|
$788,293 principal, 1.55%, due 7/12/44
|
809,262 | |||||||
FB 2005-1 A3
|
$400,000 principal, 5.28%, due 08/10/35
|
458,885 | |||||||
FFCB
|
$25,000,000 principal, 1.13%, due 02/27/14
|
25,265,500 | |||||||
FFCB
|
$600,000 principal, 5.16%, due 03/14/22
|
759,052 | |||||||
FHLB
|
$455,640 principal, 5.14%, due 03/14/22
|
485,215 | |||||||
FHLG
|
$365,998 principal, 4.50%, due 02/01/37
|
392,647 | |||||||
FHLG
|
$2,381,646 principal, 5.00%, due 01/01/35
|
2,576,829 | |||||||
FHLG
|
$627,085 principal, 5.00%, due 07/01/35
|
678,476 | |||||||
FHLG
|
$2,514,206 principal, 5.00%, due 8/1/35
|
2,712,397 | |||||||
FHLG
|
$1,533,628 principal, 5.50%, due 1/1/35
|
1,671,295 | |||||||
FHLG
|
$631,080 principal, 5.50%, due 1/1/35
|
687,729 | |||||||
FHLG
|
$337,066 principal, 5.50%, due 3/1/34
|
368,587 | |||||||
FHLG
|
$2,489,256 principal, 5.50%, due 6/1/34
|
2,717,374 | |||||||
FHLG
|
$453,290 principal, 5.50%, due 10/1/33
|
495,963 | |||||||
FHLG
|
$3,911,195 principal, 5.50%, due 12/1/39
|
4,220,730 | |||||||
FHLG
|
$2,245,530 principal, 6.00%, due 5/1/37
|
2,443,593 | |||||||
FHLG
|
$1,930,155 principal, 0.00%, due 5/1/40
|
2,100,401 | |||||||
FHLG
|
$2,581,319 principal, 6.00%, due 6/1/38
|
2,808,193 | |||||||
FHLG
|
$7,861,229 principal, 6.00%, due 6/1/38
|
8,554,614 | |||||||
FHLG
|
$692,688 principal, 6.00%, due 6/1/38
|
747,291 | |||||||
FHLG
|
$780,415 principal, 6.00%, due 11/1/37
|
848,762 | |||||||
FHLG
|
$1,291,187 principal, 6.00%, due 11/1/37
|
1,405,074 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FHLG
|
$403,314 principal, 6.50%, due 8/1/37
|
$ | 446,544 | ||||||
FHLG
|
$2,086,184 principal, 6.50%, due 8/1/38
|
2,279,809 | |||||||
FHLG
|
$345,749 principal, 6.50%, due 9/1/37
|
377,838 | |||||||
FHLG
|
$267,316 principal, 6.50%, due 9/1/37
|
292,126 | |||||||
FHLG
|
$273,271 principal, 6.50%, due 10/1/37
|
298,634 | |||||||
FHLG
|
$609,829 principal, 6.50%, due 10/1/38
|
666,429 | |||||||
FHLG
|
$463,303 principal, 6.50%, due 12/1/31
|
525,478 | |||||||
FHLG
|
$683,046 principal, 6.50%, due 12/1/32
|
775,257 | |||||||
FHLG
|
$7,863,063 principal, 6.50%, due 12/1/38
|
8,718,171 | |||||||
FHLG
|
$215,747 principal, 7.00%, due 8/1/38
|
246,423 | |||||||
FHLG
|
$232,289 principal, 4.50%, due 5/1/24
|
249,312 | |||||||
FHLG
|
$426,188 principal, 3.50%., due 8/1/18
|
448,014 | |||||||
FHLG
|
$256,068 principal, 4.00%, due 6/1/18
|
271,222 | |||||||
FHLG
|
$1,854,211 principal, 4.00%, due 6/1/26
|
1,963,942 | |||||||
FHLG
|
$270,211 principal, 4.00%, due 7/1/18
|
286,202 | |||||||
FHLG
|
$1,228,831 principal, 4.50%, due 1/1/21
|
1,309,377 | |||||||
FHLG
|
$587,545 principal, 4.50%, due 3/1/19
|
627,787 | |||||||
FHLG
|
$1,608,864 principal, 4.50%, due 3/1/25
|
1,716,331 | |||||||
FHLG
|
$1,118,792 principal, 4.50%, due 4/1/24
|
1,190,727 | |||||||
FHLG
|
$588,820 principal, 4.50%, due 6/1/18
|
626,680 | |||||||
FHLG
|
$625,713 principal, 4.50%, due 6/1/21
|
666,727 | |||||||
FHLG
|
$483,329 principal, 4.50%, due 6/1/21
|
515,010 | |||||||
FHLG
|
$2,271,354 principal, 4.50%, due 6/1/26
|
2,417,395 | |||||||
FHLG
|
$1,899,463 principal, 4,50%, due 7/1/19
|
2,033,740 | |||||||
FHLG
|
$976,875 principal, 4.50%, due 7/1/20
|
1,051,568 | |||||||
FHLG
|
$149,493 principal, 4.50%, due 8/1/18
|
159,105 | |||||||
FHLG
|
$608,457 principal, 4.50%, due 8/1/20
|
649,116 | |||||||
FHLG
|
$681,904 principal, 4.50%, due 9/1/20
|
730,621 | |||||||
FHLG
|
$4,360,029 principal, 4.50%, due 9/1/20
|
4,654,831 | |||||||
FHLG
|
$6,622,187 principal, 4.50%, due 9/1/26
|
7,047,973 | |||||||
FHLG
|
$1,533,601 principal, 4.50%, due 10/1/24
|
1,644,667 | |||||||
FHLG
|
$2,189,347 principal, 4.50%, due 12/1/18
|
2,330,115 | |||||||
FHLG
|
$169,456 principal, 5.00%, due 2/1/20
|
183,486 | |||||||
FHLG
|
$1,487,640 principal, 5.00%, due 3/1/18
|
1,594,274 | |||||||
FHLG
|
$795,169 principal, 5.00%, due 3/1/25
|
852,166 | |||||||
FHLG
|
$801,121 principal, 5.00%, due 4/1/21
|
861,800 | |||||||
FHLG
|
$317,100 principal, 5.00%, due 5/1/23
|
340,473 | |||||||
FHLG
|
$606,616 principal, 5.00%, due 6/1/19
|
656,240 | |||||||
FHLG
|
$396,256 principal, 5.00%, due 7/1/18
|
424,729 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FHLG
|
$3,365,436 principal, 5.00%, due 7/1/23
|
$ | 3,609,825 | ||||||
FHLG
|
$4,409,463 principal, 0.00%, due 7/1/25
|
4,739,312 | |||||||
FHLG
|
$1,633,412 principal, 5.00%, due 7/1/25
|
1,757,130 | |||||||
FHLG
|
$681,883 principal, 5.00%, due 9/1/19
|
736,753 | |||||||
FHLG
|
$251,468 principal, 5.00%, due 9/1/21
|
270,554 | |||||||
FHLG
|
$1,169,578 principal, 5.00%, due 10/1/20
|
1,263,651 | |||||||
FHLG
|
$1,843,380 principal, 5.00%, due 12/1/20
|
1,983,001 | |||||||
FHLG
|
$138,431 principal, 5.00%, due 12/1/21
|
148,938 | |||||||
FHLG
|
$2,348,695 principal, 5.50%, due 1/1/24
|
2,508,608 | |||||||
FHLG
|
$2,579,923 principal, 5.50%, due 2/1/22
|
2,755,580 | |||||||
FHLG
|
$1,379,984 principal, 5.50%, due 4/1/21
|
1,478,685 | |||||||
FHLG
|
$305,849 principal, 5.50%, due 4/1/22
|
326,673 | |||||||
FHLG
|
$622,120 principal, 5.50%, due 5/1/22
|
664,478 | |||||||
FHLG
|
$7,869,366 principal, 5.50%, due 5/1/24
|
8,402,700 | |||||||
FHLG
|
$1,744,257 principal, 5.50%, due 7/1/21
|
1,869,013 | |||||||
FHLG
|
$3,738,694 principal, 5.50%, due 7/1/24
|
3,994,916 | |||||||
FHLG
|
$356,634 principal, 5.50%, due 8/1/20
|
383,094 | |||||||
FHLG
|
$308,658 principal, 5.50%, due 11/1/21
|
330,156 | |||||||
FHLG
|
$543,492 principal, 5.50%, due 11/1/21
|
582,364 | |||||||
FHLG
|
$455,564 principal, 5.50%, due 12/1/19
|
485,930 | |||||||
FHLG
|
$114,704 principal, 5.50%, due 12/1/20
|
122,896 | |||||||
FHLG
|
$347,613 principal, 5.50%, due 12/1/22
|
371,172 | |||||||
FHLG
|
$2,575,000 principal, 5.50%, due 12/1/24
|
2,749,516 | |||||||
FHLG
|
$2,847,202 principal, 5.50%, due 12/1/24
|
3,041,056 | |||||||
FHLG
|
$788,737 principal, 6.00%, due 1/1/24
|
851,248 | |||||||
FHLG
|
$5,170,171 principal, 6.00%, due 1/1/24
|
5,555,912 | |||||||
FHLG
|
$315,319 principal, 6.00%, due 3/1/18
|
338,268 | |||||||
FHLG
|
$153,583 principal, 6.00%, due 2/1/19
|
163,705 | |||||||
FHLG
|
$819,316 principal, 6.00%, due 2/1/22
|
916,906 | |||||||
FHLG
|
$115,411 principal, 6.00%, due 3/1/22
|
129,081 | |||||||
FHLG
|
$842,857 principal, 6.00%, due 3/1/23
|
943,658 | |||||||
FHLG
|
$227,235 principal, 6.00%, due 8/1/21
|
253,824 | |||||||
FHLG
|
$1,060,319 principal, 6.00%, due 8/1/22
|
1,185,457 | |||||||
FHLG
|
$199,665 principal, 6.00%, due 9/1/17
|
216,468 | |||||||
FHLG
|
$101,017 principal, 6.00%, due 9/1/21
|
112,989 | |||||||
FHLG
|
$98,928 principal, 6.00%, due 11/1/16
|
105,020 | |||||||
FHLG
|
$856,612 principal, 6.00%, due 11/1/22
|
958,203 | |||||||
FHLG
|
$1,125,005 principal, 6.00%, due 11/1/22
|
1,259,335 | |||||||
FHLG
|
$97,823 principal, 6.00%, due 12/1/22
|
109,503 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FHLG
|
$733,402 principal, 6.50%, due 3/1/22
|
$ | 812,037 | ||||||
FHLG
|
$247,547 principal, 6.50%, due 7/1/16
|
265,309 | |||||||
FHLG
|
$688,979 principal, 6.50%, due 8/1/21
|
743,434 | |||||||
FHLG
|
$674,931 principal, 6.50%, due 11/1/22
|
749,168 | |||||||
FHLG
|
$806,546 principal, 5.50%, due 5/1/22
|
867,483 | |||||||
FHLG
|
$287,336 principal, 5.00%, due 7/1/25
|
310,075 | |||||||
FHLG
|
$440,479 principal, 5.00%, due 8/1/25
|
475,476 | |||||||
FHLG
|
$472,905 principal, 5.00%, due 11/1/25
|
510,479 | |||||||
FHLG
|
$261,587 principal, 5.50%, due 1/1/26
|
282,289 | |||||||
FHLG
|
$333,871 principal, 5.00%, due 12/1/24
|
360,293 | |||||||
FHLG
|
$635,315 principal, 5.00%, due 4/1/23
|
684,999 | |||||||
FHLG
|
$279,769 principal, 5.50%, due 11/1/23
|
305,155 | |||||||
FHLG
|
$313,393 principal, 5.50%, due 5/1/23
|
341,720 | |||||||
FHLM ARM
|
$287,743 principal, 4.42%, due 3/1/35
|
306,181 | |||||||
FHLM ARM
|
$7,726,991 principal, 5.25%, due 6/1/38
|
8,208,317 | |||||||
FHLM ARM
|
$307,204 principal, 5.38%, due 3/1/36
|
326,976 | |||||||
FHLM ARM
|
$4,500,606 principal, 5.39%, due 7/1/38
|
4,797,724 | |||||||
FHLM ARM
|
$3,978,362 principal, 5.51%, due 12/1/37
|
4,208,492 | |||||||
FHLM ARM
|
$6,158,159 principal, 5.70%, due 8/1/37
|
6,621,942 | |||||||
FHLM ARM
|
$3,601,136 principal, 5.75%, due 11/1/37
|
3,817,188 | |||||||
FHLM ARM
|
$5,728,839 principal, 4.96%, due 4/1/38
|
6,076,990 | |||||||
FHLMC
|
$7,000,000 principal, 1.38%, due 2/25/14
|
7,094,087 | |||||||
FHLMC
|
$600,000 principal, 2.38%, due 1/13/22
|
625,822 | |||||||
FHLMC
|
$100,000 principal, 6.75%, due 3/15/31
|
153,488 | |||||||
FHLMC
|
$2,200,000 principal, 0.00%, due 3/15/31
|
1,174,193 | |||||||
FHMS
|
$10,000,000 principal, 1.32%, due 8/25/22
|
988,541 | |||||||
FHMS
|
$7,103,304 principal, 2.08%, due 12/25/17
|
7,344,012 | |||||||
FHMS
|
$2,056,912 principal, 1.87%, due 1/25/18
|
2,131,149 | |||||||
FHMS
|
$3,649,087 principal, 1.62%, due 9/25/18
|
3,749,375 | |||||||
FHMS
|
$4,917,804 principal, 1.67%, due 10/25/18
|
5,057,924 | |||||||
FHR
|
$354,268 principal, 4.00%, due 10/1/39
|
368,095 | |||||||
FHR
|
$1,613,417 principal, 3.50%, due 10/1/13
|
1,656,578 | |||||||
FHR
|
$1,367,579 principal, 6.00%, due 11/15/28
|
1,530,201 | |||||||
FHR
|
$856,200 principal, 7.50%, due 1/20/30
|
1,006,052 | |||||||
FHR
|
$28,874 principal, 6.00%, due 3/15/17
|
31,065 | |||||||
FHR
|
$626,298 principal, 6.50%, due 6/15/32
|
708,516 | |||||||
FHR
|
$4,020,718 principal, 5.50%, due 7/15/32
|
4,223,885 | |||||||
FHR
|
$360,829 principal, 5.00%, due 12/15/17
|
383,534 | |||||||
FHR
|
$331,244 principal, 5.00%, due 1/15/18
|
353,785 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FHR
|
$15,177 principal, 4.50%, due 6/15/22
|
$ | 15,311 | ||||||
FHR
|
$401,710 principal, 5.50%, due 6/15/22
|
405,760 | |||||||
FHR
|
$9,789 principal, 5.50%, due 9/15/31
|
9,786 | |||||||
FHR
|
$252,573 principal, 5.00%, due 12/15/22
|
262,682 | |||||||
FHR
|
$187,372 principal, 5.00%, due 11/15/17
|
190,697 | |||||||
FHR
|
$10,002,590 principal, 5.00%, due 3/15/18
|
10,696,280 | |||||||
FHR
|
$1,500,000 principal, 5.50%, due 3/15/33
|
1,656,257 | |||||||
FHR
|
$40,110 principal, 3.75%, due 4/15/33
|
40,617 | |||||||
FHR
|
$598,261 principal, 5.00%, due 6/15/33
|
654,780 | |||||||
FHR
|
$530,786 principal, 4.50%, due 6/15/18
|
552,950 | |||||||
FHR
|
$194,660 principal, 5.67%, due 2/15/32
|
196,423 | |||||||
FHR
|
$970,133 principal, 5.00%, due 9/15/32
|
1,023,012 | |||||||
FHR
|
$334,210 principal, 0.65%, due 3/15/17
|
335,311 | |||||||
FHR
|
$6,411,459 principal, 5.00%, due 8/15/18
|
6,850,906 | |||||||
FHR
|
$330,115 principal, 5.50%, due 1/15/22
|
333,688 | |||||||
FHR
|
$1,714,733 principal, 4.50%, due 7/15/32
|
1,774,721 | |||||||
FHR
|
$496,865 principal, 3.50%, due 10/15/18
|
519,058 | |||||||
FHR
|
$118,190 principal, 4.75%, due 12/15/22
|
119,966 | |||||||
FHR
|
$95,370 principal, 5.50%, due 4/15/32
|
96,350 | |||||||
FHR
|
$92,112 principal, 5.00%, due 12/15/23
|
100,299 | |||||||
FHR
|
$3,353,305 principal, 4.00%, due 4/15/19
|
3,552,672 | |||||||
FHR
|
$1,162,530 principal, 4.00%, due 4/15/19
|
1,220,756 | |||||||
FHR
|
$706,423 principal, 4.50%, due 5/15/19
|
749,380 | |||||||
FHR
|
$487,421 principal, 0.55%, due 4/15/33
|
487,867 | |||||||
FHR
|
$860,000 principal, 5.00%, due 8/15/19
|
917,348 | |||||||
FHR
|
$60,427 principal, 5.50%, due 7/15/15
|
62,351 | |||||||
FHR
|
$46,231 principal, 5.00%, due 1/15/19
|
46,880 | |||||||
FHR
|
$227,375 principal, 5.50%, due 1/15/31
|
230,794 | |||||||
FHR
|
$1,226,168 principal, 4.50%, due 8/15/34
|
1,337,128 | |||||||
FHR
|
$240,953 principal, 4.50%, due 4/15/19
|
247,616 | |||||||
FHR
|
$284,797 principal, 4.50%, due 2/15/19
|
290,683 | |||||||
FHR
|
$60,844 principal, 5.00%, due 11/15/24
|
65,856 | |||||||
FHR
|
$323,508 principal, 0.00%, due 4/15/19
|
331,356 | |||||||
FHR
|
$179,572 principal, 5.50%, due 1/15/32
|
181,443 | |||||||
FHR
|
$2,703,654 principal, 5.00%, due 2/15/25
|
2,950,201 | |||||||
FHR
|
$185,124 principal, 4.50%, due 11/15/18
|
186,503 | |||||||
FHR
|
$2,125,000 principal, 4.50%, due 7/15/20
|
2,292,299 | |||||||
FHR
|
$915,537 principal, 5.50%, due 7/15/31
|
922,230 | |||||||
FHR
|
$564,279 principal, 5.00%, due 8/15/17
|
602,399 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FHR
|
$395,000 principal, 4.50%, due 3/15/22
|
$ | 426,026 | ||||||
FHR
|
$3,640,000 principal, 4.50%, due 3/15/22
|
3,918,041 | |||||||
FHR
|
$138,939 principal, 4.50%, due 12/15/20
|
141,124 | |||||||
FHR
|
$457,355 principal, 4.50%, due 10/15/17
|
472,225 | |||||||
FHR
|
$11,072 principal, 5.00%, due 9/15/34
|
11,068 | |||||||
FHR
|
$655,447 principal, 4.00%, due 5/15/32
|
657,371 | |||||||
FHR
|
$237,440 principal, 3.10%, due 7/15/19
|
237,397 | |||||||
FHR
|
$1,358,548 principal, 5.00%, due 9/15/40
|
1,450,190 | |||||||
FHR
|
$749,487 principal, 5.00%, due 11/15/36
|
789,916 | |||||||
FNA
|
$4,801,603 principal, 4.08%, due 12/25/17
|
786,157 | |||||||
FNGT
|
$118,836 principal, 7.00%, due 12/25/41
|
138,425 | |||||||
FNGT
|
$399,281 principal, 6.99%, due 2/19/30
|
456,416 | |||||||
FNMA
|
$3,000,000 principal, 3.50%, due 1/1/43
|
3,197,813 | |||||||
FNMA
|
$542,954 principal, 4.00%, due 1/1/42
|
582,127 | |||||||
FNMA
|
$1,682,980 principal, 4.00%, due 12/1/40
|
1,808,612 | |||||||
FNMA
|
$657,862 principal, 4.00%, due 12/1/40
|
704,298 | |||||||
FNMA
|
$33,695 principal, 4.00%, due 1/1/42
|
36,126 | |||||||
FNMA
|
$2,594,259 principal, 4.50%, due 3/1/34
|
2,800,887 | |||||||
FNMA
|
$1,471,686 principal, 4.50%, due 10/1/35
|
1,588,213 | |||||||
FNMA
|
$568,839 principal, 4.50%, due 10/1/40
|
613,702 | |||||||
FNMA
|
$7,000,000 principal, 5.00%, due 1/1/41
|
7,582,422 | |||||||
FNMA
|
$7,000,000 principal, 5.00%, due 2/1/41
|
7,582,422 | |||||||
FNMA
|
$1,737,539 principal, 5.00%, due 3/1/34
|
1,884,415 | |||||||
FNMA
|
$2,432,550 principal, 5.00%, due 3/1/36
|
2,632,856 | |||||||
FNMA
|
$621,341 principal, 5.00%, due 6/1/23
|
673,863 | |||||||
FNMA
|
$448,818 principal, 5.00%, due 8/1/25
|
487,178 | |||||||
FNMA
|
$754,258 principal, 5.00%, due 10/1/29
|
821,787 | |||||||
FNMA
|
$47,236 principal, 5.00%, due 12/1/25
|
51,288 | |||||||
FNMA
|
$727,857 principal, 5.50%, due 2/1/35
|
797,345 | |||||||
FNMA
|
$1,800,051 principal, 5.50%, due 4/1/34
|
1,970,775 | |||||||
FNMA
|
$1,728,160 principal, 5.50%, due 4/1/35
|
1,894,225 | |||||||
FNMA
|
$2,841,403 principal, 5.50%, due 4/1/37
|
3,114,444 | |||||||
FNMA
|
$3,288,547 principal, 5.50%, due 5/1/33
|
3,604,556 | |||||||
FNMA
|
$170,039 principal, 5.50%, due 5/1/33
|
186,379 | |||||||
FNMA
|
$1,723,666 principal, 5.50%, due 5/1/35
|
1,887,145 | |||||||
FNMA
|
$3,174,198 principal, 5.50%, due 6/1/26
|
3,443,509 | |||||||
FNMA
|
$4,044,817 principal, 5.50%, due 6/1/33
|
4,430,971 | |||||||
FNMA
|
$8,614,002 principal, 5.50%, due 6/1/33
|
9,441,754 | |||||||
FNMA
|
$1,023,336 principal, 5.50%, due 7/1/33
|
1,121,032 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FNMA
|
$638,818 principal, 5.50%, due 8/1/35
|
$ | 700,204 | ||||||
FNMA
|
$913,168 principal, 5.50%, due 8/1/37
|
999,776 | |||||||
FNMA
|
$1,399,111 principal, 5.50%, due 9/1/35
|
1,530,496 | |||||||
FNMA
|
$1,408,283 principal, 5.50%, due 9/1/36
|
1,540,530 | |||||||
FNMA
|
$3,786,896 principal, 5.50%, due 10/1/36
|
4,148,426 | |||||||
FNMA
|
$382,747 principal, 5.50%, due 11/1/33
|
419,288 | |||||||
FNMA
|
$605,876 principal, 5.50%, due 11/1/34
|
662,772 | |||||||
FNMA
|
$374,843 principal, 5.50%, due 11/1/34
|
410,628 | |||||||
FNMA
|
$377,929 principal, 5.50%, due 12/1/30
|
410,375 | |||||||
FNMA
|
$4,511,032 principal, 5.50%, due 12/1/35
|
4,930,418 | |||||||
FNMA
|
$4,185,866 principal, 6.00%, due 2/1/34
|
4,643,622 | |||||||
FNMA
|
$1,176,830 principal, 6.00%, due 3/1/40
|
1,284,813 | |||||||
FNMA
|
$368,398 principal, 6.00%, due 4/1/35
|
408,367 | |||||||
FNMA
|
$1,111,910 principal, 6.00%, due 6/1/40
|
1,215,674 | |||||||
FNMA
|
$1,158,992 principal, 6.00%, due 8/1/37
|
1,285,510 | |||||||
FNMA
|
$2,361,367 principal, 6.00%, due 8/1/37
|
2,620,047 | |||||||
FNMA
|
$1,607,502 principal, 6.00%, due 8/1/38
|
1,757,515 | |||||||
FNMA
|
$438,082 principal, 6.00%, due 10/1/28
|
488,817 | |||||||
FNMA
|
$989,619 principal, 6.00%, due 10/1/37
|
1,072,384 | |||||||
FNMA
|
$561,184 principal, 6.00%, due 11/1/23
|
612,686 | |||||||
FNMA
|
$1,594,805 principal, 6.00%, due 11/1/34
|
1,769,543 | |||||||
FNMA
|
$1,750,005 principal, 6.00%, due 12/1/38
|
1,908,941 | |||||||
FNMA
|
$1,011,064 principal, 6.50%, due 2/1/38
|
1,109,642 | |||||||
FNMA
|
$403,328 principal, 6.50%, due 7/1/38
|
448,450 | |||||||
FNMA
|
$178,142 principal, 6.50%, due 10/1/37
|
195,511 | |||||||
FNMA
|
$635,390 principal, 6.50%, due 10/1/38
|
706,673 | |||||||
FNMA
|
$1,915,883 principal, 6.50%, due 10/1/38
|
2,130,821 | |||||||
FNMA
|
$417,882 principal, 6.50%, due 12/1/32
|
472,806 | |||||||
FNMA
|
$2,037,620 principal, 7.00%, due 12/1/38
|
2,326,600 | |||||||
FNMA
|
$6,284,672 principal, 7.00%, due 3/1/37
|
7,194,077 | |||||||
FNMA
|
$261,132 principal, 7.00%, due 3/1/37
|
298,875 | |||||||
FNMA
|
$505,205 principal, 7.00%, due 4/1/32
|
579,397 | |||||||
FNMA
|
$550,418 principal, 7.00%, due 4/1/37
|
629,981 | |||||||
FNMA
|
$819,079 principal, 7.00%, due 8/1/32
|
935,849 | |||||||
FNMA
|
$571,317 principal, 7.00%, due 9/1/28
|
647,028 | |||||||
FNMA
|
$544,808 principal, 7.00%, due 10/1/37
|
622,243 | |||||||
FNMA
|
$2,030,385 principal, 5.00%, due 7/1/23
|
2,202,016 | |||||||
FNMA
|
$1,302,461 principal, 5.00%, due 1/1/26
|
1,414,188 | |||||||
FNMA
|
$340,966 principal, 0.00%, due 2/1/28
|
380,729 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FNMA
|
$1,107,836 principal, 6.00%, due 7/1/28
|
$ | 1,239,123 | ||||||
FNMA
|
$536,340 principal, 6.00%, due 10/1/27
|
599,273 | |||||||
FNMA
|
$411,647 principal, 6.50%, due 3/1/27
|
457,186 | |||||||
FNMA
|
$200,000 principal, 0.00%, due 6/1/17
|
191,684 | |||||||
FNMA
|
$3,300,000 principal, 0.00%, due 3/23/28
|
1,991,236 | |||||||
FNMA
|
$239,686 principal, 4.62%, due 4/1/13
|
240,285 | |||||||
FNMA
|
$18,394,408 principal, 5.50%, due 1/1/19
|
19,733,031 | |||||||
FNMA
|
$186,386 principal, 6.00%, due 7/1/16
|
196,636 | |||||||
FNMA
|
$28,000,000 principal, 3.00%, due 1/1/27
|
29,548,750 | |||||||
FNMA
|
$6,886,484 principal, 4.00%, due 3/1/20
|
7,367,462 | |||||||
FNMA
|
$170,081 principal, 4.00%, due 3/1/22
|
182,226 | |||||||
FNMA
|
$629,994 principal, 4.00%, due 3/1/22
|
673,995 | |||||||
FNMA
|
$5,146,374 principal, 4.00%, due 5/1/25
|
5,505,816 | |||||||
FNMA
|
$804,971 principal, 4.00%, due 5/1/26
|
861,193 | |||||||
FNMA
|
$398,533 principal, 4.00%, due 9/1/20
|
426,368 | |||||||
FNMA
|
$202,552 principal, 4.00%, due 10/1/18
|
216,699 | |||||||
FNMA
|
$4,846,468 principal, 4.00%, due 10/1/26
|
5,184,964 | |||||||
FNMA
|
$627,696 principal, 4.50%, due 1/1/20
|
674,871 | |||||||
FNMA
|
$366,491 principal, 4.50%, due 1/1/20
|
394,035 | |||||||
FNMA
|
$3,510,979 principal, 4.50%, due 3/1/21
|
3,774,851 | |||||||
FNMA
|
$542,613 principal, 4.50%, due 4/1/19
|
583,394 | |||||||
FNMA
|
$868,413 principal, 4.50%, due 4/1/21
|
934,765 | |||||||
FNMA
|
$452,997 principal, 4.50%, due 5/1/22
|
487,376 | |||||||
FNMA
|
$7,161,456 principal, 4.50%, due 5/1/22
|
7,699,684 | |||||||
FNMA
|
$738,366 principal, 4.50%, due 7/1/20
|
793,858 | |||||||
FNMA
|
$381,345 principal, 4.50%, due 7/1/25
|
410,005 | |||||||
FNMA
|
$319,011 principal, 4.50%, due 9/1/20
|
342,987 | |||||||
FNMA
|
$399,866 principal, 4.50%, due 10/1/20
|
430,418 | |||||||
FNMA
|
$270,801 principal, 4.50%, due 11/1/19
|
291,153 | |||||||
FNMA
|
$450,427 principal, 4.50%, due 11/1/21
|
484,842 | |||||||
FNMA
|
$1,067,183 principal, 4.50%, due 12/1/20
|
1,148,723 | |||||||
FNMA
|
$5,682,913 principal, 4.50%, due 12/1/20
|
6,117,122 | |||||||
FNMA
|
$280,349 principal, 4.50%, due 12/1/21
|
301,770 | |||||||
FNMA
|
$14,354,438 principal, 5.00%, due 6/1/26
|
15,584,658 | |||||||
FNMA
|
$1,447,746 principal, 5.00%, due 1/1/19
|
1,566,845 | |||||||
FNMA
|
$370,999 principal, 5.00%, due 3/1/23
|
403,027 | |||||||
FNMA
|
$158,094 principal, 5.00%, due 5/1/21
|
171,767 | |||||||
FNMA
|
$1,446,874 principal, 5.00%, due 6/1/20
|
1,570,543 | |||||||
FNMA
|
$1,530,566 principal, 5.00%, due 6/1/23
|
1,662,697 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FNMA
|
$2,231,011 principal, 5.00%, due 7/1/18
|
$ | 2,414,546 | ||||||
FNMA
|
$905,308 principal, 5.00%, due 7/1/24
|
983,603 | |||||||
FNMA
|
$586,574 principal, 5.00%, due 8/1/21
|
637,304 | |||||||
FNMA
|
$505,585 principal, 5.00%, due 9/1/19
|
547,640 | |||||||
FNMA
|
$923,426 principal, 5.00%, due 9/1/20
|
1,003,144 | |||||||
FNMA
|
$3,860,112 principal, 5.00%, due 9/1/25
|
4,194,555 | |||||||
FNMA
|
$1,437,628 principal, 5.00%, due 10/1/21
|
1,561,736 | |||||||
FNMA
|
$846,195 principal, 5.00%, due 12/1/19
|
915,808 | |||||||
FNMA
|
$529,449 principal, 5.00%, due 12/1/21
|
573,010 | |||||||
FNMA
|
$505,838 principal, 5.00%, due 12/1/21
|
549,585 | |||||||
FNMA
|
$2,129,270 principal, 5.00%, due 12/1/23
|
2,308,761 | |||||||
FNMA
|
$832,001 principal, 5.16%, due 1/1/18
|
929,330 | |||||||
FNMA
|
$3,373,198 principal, 5.50%, due 1/1/25
|
3,632,380 | |||||||
FNMA
|
$168,710 principal, 5.50%, due 3/1/21
|
182,516 | |||||||
FNMA
|
$961,106 principal, 5.50%, due 3/1/23
|
1,035,104 | |||||||
FNMA
|
$5,891,429 principal, 5.50%, due 5/1/25
|
6,435,548 | |||||||
FNMA
|
$1,044,061 principal, 5.50%, due 6/1/20
|
1,120,041 | |||||||
FNMA
|
$601,898 principal, 5.50%, due 6/1/22
|
648,145 | |||||||
FNMA
|
$2,095,515 principal, 5.50%, due 7/1/21
|
2,264,711 | |||||||
FNMA
|
$1,850,346 principal, 5.50%, due 8/1/21
|
1,985,002 | |||||||
FNMA
|
$299,637 principal, 5.50%, due 9/1/23
|
323,221 | |||||||
FNMA
|
$800,783 principal, 5.50%, due 11/1/23
|
865,315 | |||||||
FNMA
|
$1,045,184 principal, 5.50%, due 11/1/23
|
1,130,718 | |||||||
FNMA
|
$372,594 principal, 5.50%, due 12/1/21
|
402,620 | |||||||
FNMA
|
$1,136,226 principal, 5.50%, due 3/1/24
|
1,223,529 | |||||||
FNMA
|
$322,978 principal, 6.00%, due 2/1/19
|
347,252 | |||||||
FNMA
|
$394,703 principal, 6.00%, due 3/1/18
|
427,345 | |||||||
FNMA
|
$356,917 principal, 6.00%, due 5/1/18
|
383,273 | |||||||
FNMA
|
$6,638,646 principal, 6.00%, due 5/1/24
|
7,433,432 | |||||||
FNMA
|
$1,283,558 principal, 6.00%, due 8/1/22
|
1,436,683 | |||||||
FNMA
|
$137,857 principal, 6.00%, due 8/1/22
|
154,134 | |||||||
FNMA
|
$299,465 principal, 6.00%, due 9/1/19
|
323,123 | |||||||
FNMA
|
$321,146 principal, 6.00%, due 9/1/19
|
347,706 | |||||||
FNMA
|
$53,536 principal, 6.00%, due 9/1/21
|
59,810 | |||||||
FNMA
|
$1,245,448 principal, 6.00%, due 9/1/21
|
1,391,406 | |||||||
FNMA
|
$1,168,761 principal, 6.00%, due 9/1/23
|
1,308,954 | |||||||
FNMA
|
$201,608 principal, 6.00%, due 11/1/17
|
217,783 | |||||||
FNMA
|
$996,599 principal, 6.00%, due 11/1/21
|
1,112,837 | |||||||
FNMA
|
$178,210 principal, 6.00%, due 12/1/18
|
191,833 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FNMA
|
$4,240,321 principal, 6.50%, due 9/1/17
|
$ | 260,357 | ||||||
FNMA
|
$293,658 principal, 6.50%, due 4/1/18
|
315,516 | |||||||
FNMA
|
$446,285 principal, 6.50%, due 4/1/21
|
489,750 | |||||||
FNMA
|
$979,615 principal, 6.50%, due 4/1/22
|
1,094,897 | |||||||
FNMA
|
$616,498 principal, 6.50%, due 10/1/22
|
683,915 | |||||||
FNMA
|
$1,217,601 principal, 3.50%, due 1/1/32
|
1,297,839 | |||||||
FNMA
|
$478,846 principal, 4.50%, due 4/1/25
|
517,659 | |||||||
FNMA
|
$1,477,341 principal, 4.50%, due 5/1/30
|
1,598,933 | |||||||
FNMA
|
$357,412 principal, 4.50%, due 11/1/30
|
386,940 | |||||||
FNMA
|
$1,543,647 principal, 5.00%, due 1/1/25
|
1,675,581 | |||||||
FNMA
|
$204,202 principal, 5.00%, due 9/1/23
|
221,591 | |||||||
FNMA
|
$92,956 principal, 5.00%, due 12/1/23
|
100,872 | |||||||
FNMA
|
$542,221 principal, 5.50%, due 2/1/26
|
588,225 | |||||||
FNMA
|
$534,718 principal, 5.50%, due 6/1/27
|
580,086 | |||||||
FNMA
|
$388,750 principal, 5.50%, due 10/1/23
|
423,722 | |||||||
FNMA
|
$1,762,649 principal, 6.00%, due 12/1/27
|
1,969,770 | |||||||
FNMA
|
$240,716 principal, 5.00%, due 11/1/23
|
261,215 | |||||||
FNMA
|
$1,344,430 principal, 5.50%, due 1/1/23
|
1,462,631 | |||||||
FNMA
|
$512,701 principal, 5.50%, due 1/1/25
|
561,265 | |||||||
FNMA
|
$331,739 principal, 5.50%, due 10/1/24
|
362,901 | |||||||
FNMA
|
$266,576 principal, 5.50%, due 11/1/23
|
290,667 | |||||||
FNMA
|
$525,903 principal, 5.50%, due 3/1/23
|
572,711 | |||||||
FNMA
|
$450,160 principal, 6.00%. due 1/1/26
|
502,277 | |||||||
FNMA
|
$679,485 principal, 6.50%, due 10/1/26
|
754,653 | |||||||
FNMA
|
$581,776 principal, 6.50%, due 2/1/27
|
646,135 | |||||||
FNMA
|
$525,407 principal, 6.00%, due 3/1/36
|
582,340 | |||||||
FNMA
|
$3,900,000 principal, 6.63%, due 11/15/30
|
5,911,066 | |||||||
FNMA
|
$1,700,000 principal, 7.13%, due 1/15/30
|
2,666,045 | |||||||
FNMA
|
$500,000 principal, 7.25%, due 5/15/30
|
795,066 | |||||||
FNMA
|
$193,150 principal, 3.32%, due 1/1/18
|
206,395 | |||||||
FNMA
|
$446,656 principal, 5.50%, due 4/1/17
|
514,900 | |||||||
FNMA
|
$4,500,000 principal, 8.10%, due 8/12/19
|
6,448,954 | |||||||
FNMA ARM
|
$988,328 principal, 4.03%, due 5/1/33
|
1,037,544 | |||||||
FNMA ARM
|
$533,550 principal, 4.48%, due 1/1/35
|
566,686 | |||||||
FNMA ARM
|
$647,919 principal, 4.84%, due 7/1/35
|
692,394 | |||||||
FNMA ARM
|
$18,254,932 principal, 5.46%, due 3/1/39
|
19,507,714 | |||||||
FNMA ARM
|
$3,821,286 principal, 5.50%, due 9/1/38
|
4,055,613 | |||||||
FNMA ARM
|
$12,717,329 principal, 5.93%, due 9/1/37
|
13,708,664 | |||||||
FNMA PRIN STRIP
|
$200,000 principal, 0.00%, due 11/15/30
|
104,653 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FNMA MTN DN
|
$1,600,000 principal, 0.00%, due 11/15/30
|
$ | 822,973 | ||||||
FNR
|
$331,930 principal, 6.00%, due 3/25/17
|
354,538 | |||||||
FNR
|
$141,058 principal, 3.75%, due 12/25/17
|
142,696 | |||||||
FNR
|
$658,722 principal, 5.50%, due 12/25/34
|
727,914 | |||||||
FNR
|
$694,787 principal, 6.00%, due 11/25/31
|
772,743 | |||||||
FNR
|
$140,375 principal, 5.50%, due 3/25/17
|
147,786 | |||||||
FNR
|
$452,164 principal, 5.50%, due 11/25/17
|
484,008 | |||||||
FNR
|
$116,126 principal, 5.00%, due 11/25/17
|
123,312 | |||||||
FNR
|
$2,961,382 principal, 5.00%, due 12/25/17
|
3,146,773 | |||||||
FNR
|
$601,113 principal, 6.50%, due 6/25/42
|
678,706 | |||||||
FNR
|
$433,771 principal, 4.50%, due 1/25/18
|
458,316 | |||||||
FNR
|
$529,044 principal, 5.00%, due 1/25/18
|
562,401 | |||||||
FNR
|
$527,054 principal, 5.00%, due 3/25/18
|
554,210 | |||||||
FNR
|
$1,417,761 principal, 5.00%, due 5/25/18
|
1,515,789 | |||||||
FNR
|
$370,963 principal, 5.00%, due 5/25/18
|
395,028 | |||||||
FNR
|
$114,565 principal, 3.50%, due 8/25/23
|
120,906 | |||||||
FNR
|
$295,529 principal, 4.50%, due 4/25/18
|
302,508 | |||||||
FNR
|
$407,711 principal, 4.50%, due 9/25/18
|
433,331 | |||||||
FNR
|
$422,924 principal, 5.00%, due 7/25/24
|
460,721 | |||||||
FNR
|
$1,325,424 principal, 4.50%, due 10/25/19
|
1,402,279 | |||||||
FNR
|
$542,350 principal, 5.00%, due 10/25/24
|
592,355 | |||||||
FNR
|
$19,143 principal, 5.50%, due 11/25/31
|
19,135 | |||||||
FNR
|
$650,855 principal, 0.55%, due 3/25/35
|
653,797 | |||||||
FNR
|
$168,467 principal, 5.50%, due 12/25/23
|
170,907 | |||||||
FNR
|
$250,000 principal, 5.50%, due 1/25/35
|
271,339 | |||||||
FNR
|
$4,056,920 principal, 0.45%, due 8/25/35
|
4,062,387 | |||||||
FNR
|
$1,079,914 principal, 5.00%, due 10/25/23
|
1,095,268 | |||||||
FNR
|
$475,755 principal, 5.00%, due 7/25/19
|
485,351 | |||||||
FNR
|
$21,375 principal, 6.00%, due 1/25/24
|
21,449 | |||||||
FNR
|
$14,192 principal, 6.50%, due 12/25/33
|
14,200 | |||||||
FNR
|
$85,442 principal, 5.50%, due 2/25/33
|
86,795 | |||||||
FNR
|
$556,139 principal, 5.50%, due 6/25/32
|
562,236 | |||||||
FNR
|
$429,767 principal, 5.50%, due 7/25/33
|
447,188 | |||||||
FNR
|
$100,000 principal, 0.40%, due 10/27/37
|
99,473 | |||||||
FNR
|
$108,026 principal, 5.00%, due 12/25/24
|
108,551 | |||||||
FNR
|
$5,507,233 principal, 4.25%, due 6/25/22
|
5,669,609 | |||||||
FNR
|
$157,787 principal, 4.20%, due 7/25/22
|
163,216 | |||||||
FNR
|
$1,600,000 principal, 5.00%, due 4/25/23
|
1,764,920 | |||||||
FNR
|
$514,214 principal, 5.50%, due 4/25/38
|
562,489 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
FNR
|
$521,357 principal, 6.09%, due 3/25/31
|
$ | 526,903 | ||||||
FNR
|
$224,085 principal, 5.00%, due 8/25/37
|
238,514 | |||||||
FNR
|
$208,496 principal, 4.50%, due 11/25/22
|
216,132 | |||||||
FNR
|
$2,755,000 principal, 4.50%, due 7/25/23
|
2,926,355 | |||||||
FNR
|
$270,011 principal, 4.00%, due 10/25/19
|
283,177 | |||||||
FNR
|
$137,217 principal, 4.08%, due 2/25/23
|
140,587 | |||||||
FNR
|
$1,063,753 principal, 4.00%, due 10/25/27
|
1,085,179 | |||||||
FNR
|
$414,877 principal, 4.00%, due 7/25/24
|
435,262 | |||||||
FNR
|
$1,229,782 principal, 5.00%, due 8/25/19
|
1,318,831 | |||||||
FNR
|
$186,794 principal, 4.50%, due 8/25/19
|
197,610 | |||||||
FNR
|
$1,531,934 principal, 0.70%, due 4/25/40
|
1,536,707 | |||||||
FNR
|
$1,000,902 principal, 3.00%, due 1/25/21
|
1,042,171 | |||||||
FNR
|
$2,911,617 principal, 4.00%, due 5/25/30
|
3,095,800 | |||||||
FNR
|
$521,982 principal, 4.50%, due 6/25/21
|
555,330 | |||||||
FNR
|
$190,927 principal, 3.50%, due 3/25/26
|
200,509 | |||||||
FNR
|
$703,799 principal, 4.50%, due 11/25/22
|
767,056 | |||||||
FNR
|
$1,258,907 principal, 4.00%, due 7/25/41
|
1,346,205 | |||||||
FNR
|
$579,037 principal, 5.00%, due 6/25/21
|
624,770 | |||||||
FNR
|
$270,334 principal, 0.75%, due 9/25/41
|
271,904 | |||||||
FNR
|
$1,250,094 principal, 5.00%, due 4/25/20
|
1,374,923 | |||||||
FNR
|
$1,554,831 principal, 4.00%, due 4/25/40
|
1,634,195 | |||||||
FNW
|
$406,085 principal, 7.00%, due 10/25/42
|
480,709 | |||||||
FNW
|
$311,025 principal, 7.50%, due 3/25/44
|
357,606 | |||||||
FSPC
|
$404,121 principal, 6.50%, due 9/25/43
|
454,376 | |||||||
FSPC
|
$721,093 principal, 7.00%, due 2/25/43
|
853,728 | |||||||
GNII
|
$1,160,018 principal, 4.00%, due 11/20/24
|
1,257,034 | |||||||
GNMA
|
$1,324,387 principal, 4.00%, due 1/15/25
|
1,433,907 | |||||||
GNMA
|
$438,922 principal, 5.00%, due 3/15/18
|
470,669 | |||||||
GNMA
|
$570,363 principal, 5.50%, due 12/15/23
|
615,858 | |||||||
GNMA
|
$528,790 principal, 6.50%, due 6/15/22
|
572,921 | |||||||
GNR
|
$745,882 principal, 4.25%, due 12/20/38
|
790,309 | |||||||
GNR
|
$1,270,615 principal, 4.00%, due 9/16/33
|
1,276,111 | |||||||
GNR
|
$1,600,211 principal, 4.50%, due 8/20/34
|
1,644,423 | |||||||
GNR
|
$994,555 principal, 4.50%, due 6/16/39
|
1,087,606 | |||||||
GNR
|
$641,946 principal, 3.00%, due 12/16/38
|
668,973 | |||||||
GNR
|
$181,706 principal, 4.50%, due 11/20/34
|
185,216 | |||||||
GNR
|
$200,000 principal, 5.00%, due 3/20/40
|
234,111 | |||||||
GNR
|
$1,063,114 principal, 3.50%, due 12/16/39
|
1,117,604 | |||||||
GNR
|
$507,528 principal, 2.50%, due 6/20/38
|
516,134 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
GSBA
|
$522,536 principal, 5.36%, due 11/1/26
|
$ | 598,693 | ||||||
GSMPS
|
$420,559 principal, 8.00%, due 6/25/34
|
483,204 | |||||||
GSMS
|
$200,000 principal, 4.48%, due 3/10/44
|
228,592 | |||||||
NCUA GTD NTS MA
|
$3,775,000 principal, 1.40%, due 6/12/15
|
3,858,532 | |||||||
PERMM
|
$4,800,000 principal, 1.49%, due 7/15/42
|
4,801,512 | |||||||
REFCORP STRIP PRIN
|
$3,000,000 principal, 0.00%, due 10/15/19
|
2,717,346 | |||||||
RFCO
|
$200,000 principal, 0.00%, due 4/15/29
|
123,742 | |||||||
RFCO
|
$5,700,000 principal, 0.00%, due 1/15/30
|
3,439,557 | |||||||
RFCO
|
$2,470,000 principal, 0.00%, due 4/15/30
|
1,475,121 | |||||||
SBAP
|
$17,926 principal, 6.65%, due 6/1/13
|
18,356 | |||||||
SBAP
|
$104,630 principal, 6.15%, due 4/1/18
|
113,892 | |||||||
SBAP
|
$446,436 principal, 5.32%, due 4/1/27
|
513,268 | |||||||
TVA
|
$400,000 principal, 4.88%, due 1/15/48
|
498,931 | |||||||
TVA
|
$4,400,000 principal, 5.25%, due 9/15/39
|
5,776,079 | |||||||
TVA
|
$100,000 principal, 5.38%, due 4/1/56
|
134,122 | |||||||
TVA
|
$1,000,000 principal, 5.88%, due 4/1/36
|
1,379,689 | |||||||
USTTD
|
$6,400,000 principal, 0.26%, due 1/14/13
|
6,400,000 | |||||||
USTTD
|
$58,000,000 principal, 0.23%, due 1/2/13
|
58,000,000 | |||||||
USTTD
|
$29,800,000 principal, 0.25%, due 1/2/13
|
29,800,000 | |||||||
USTTD
|
$24,500,000 principal, 0.22%, due 1/2/13
|
24,500,000 | |||||||
USTTD
|
$5,000,000 principal, 0.24%, due 1/2/15
|
5,000,000 | |||||||
USTB
|
$6,000,000 principal, 3.13%, due 11/15/41
|
6,252,606 | |||||||
USTB
|
$18,900,000 principal, 4.25%, due 11/15/40
|
24,035,218 | |||||||
USTB
|
$3,100,000 principal, 4.38%, due 11/15/39
|
4,016,449 | |||||||
USTB
|
$2,500,000 principal, 4.50%, due 5/15/38
|
3,289,503 | |||||||
USTB
|
$3,300,000 principal, 4.50%, due 8/15/39
|
4,355,548 | |||||||
USTB
|
$3,200,000 principal, 5.38%, due 2/15/31
|
4,559,854 | |||||||
USTB
|
$700,000 principal, 5.50%, due 8/15/28
|
988,316 | |||||||
USTB
|
$1,500,000 principal, 6.00%, due 2/15/26
|
2,168,659 | |||||||
USTB
|
$2,400,000 principal, 6.25%, due 5/15/30
|
3,706,078 | |||||||
USTB
|
$600,000 principal, 6.75%, due 8/15/26
|
926,175 | |||||||
USTBILL
|
$3,800,000 principal, 0.00%, due 10/17/13
|
3,795,976 | |||||||
USTBILL
|
$4,300,000 principal, 0.00%, due 8/22/13
|
4,296,401 | |||||||
USTCOUP
|
$100,000 principal, 0.00%, due 11/15/32
|
56,331 | |||||||
USTCOUP
|
$1,300,000 principal, 0.00%, due 5/15/31
|
774,696 | |||||||
USTCOUP
|
$2,900,000 principal, 0.00%, due 5/15/32
|
1,665,458 | |||||||
USTCOUP
|
$100,000 principal, 0.00%, due 5/15/33
|
55,290 | |||||||
USTCOUP
|
$4,300,000 principal, 0.00%, due 5/15/34
|
2,290,425 | |||||||
USTCOUP
|
$950,000 principal, 0.00%, due 8/15/32
|
540,174 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
USTN
|
$9,000,000 principal, 0.13%, due 7/31/14
|
$ | 8,983,214 | ||||||
USTN
|
$4,750,000 principal, 0.25%, due 1/31/14
|
4,752,969 | |||||||
USTN
|
$21,200,000 principal, 0.25%, due 10/31/13
|
21,213,250 | |||||||
USTN
|
$10,000,000 principal, 0.25%, due 8/15/15
|
9,976,098 | |||||||
USTN
|
$18,000,000 principal, 0.25%, due 9/30/14
|
17,999,443 | |||||||
USTN
|
$8,000,000 principal, 0.25%, due 5/15/15
|
7,986,646 | |||||||
USTN
|
$15,000,000 principal, 0.38%, due 3/15/15
|
15,023,874 | |||||||
USTN
|
$5,600,000 principal, 0.38%, due 7/31/13
|
5,607,874 | |||||||
USTN
|
$15,500,000 principal, 0.50%, due 10/15/13
|
15,539,959 | |||||||
USTN
|
$2,600,000 principal, 0.50%, due 11/15/13
|
2,607,210 | |||||||
USTN
|
$7,000,000 principal, 0.50%, due 5/31/13
|
7,011,214 | |||||||
USTN
|
$10,200,000 principal, 0.63%, due 4/30/13
|
10,217,534 | |||||||
USTN
|
$22,000,000 principal, 0.63%, due 7/15/14
|
22,131,916 | |||||||
USTN
|
$6,000,000 principal, 0.75%, due 12/31/17
|
6,007,500 | |||||||
USTN
|
$6,750,000 principal, 0.75%, due 8/15/13
|
6,775,049 | |||||||
USTN
|
$19,000,000 principal, 0.75%, due 6/30/17
|
19,089,670 | |||||||
USTN
|
$19,000,000 principal, 0.88%, due 1/31/17
|
19,231,137 | |||||||
USTN
|
$15,000,000 principal, 0.88%, due 11/30/16
|
15,195,738 | |||||||
USTN
|
$8,000,000 principal, 0.88%, due 4/30/17
|
8,089,185 | |||||||
USTN
|
$24,500,000 principal, 1.00%, due 10/31/16
|
24,939,485 | |||||||
USTN
|
$5,000,000 principal, 1.25%, due 4/15/14
|
5,066,015 | |||||||
USTN
|
$3,900,000 principal, 1.63%, due 11/15/22
|
3,853,420 | |||||||
USTN
|
$600,000 principal, 1.63%, due 8/15/22
|
595,547 | |||||||
USTN
|
$3,600,000 principal, 1.88%, due 7/15/19
|
4,746,133 | |||||||
USTN
|
$18,050,000 principal, 2.00%, due 1/31/16
|
18,929,313 | |||||||
USTN
|
$18,950,000 principal, 2.00%, due 4/30/16
|
19,921,110 | |||||||
USTN
|
$10,525,000 principal, 2.25%, due 3/31/16
|
11,143,714 | |||||||
USTN
|
$10,000,000 principal, 4.50%, due 5/15/17
|
11,668,540 | |||||||
USTN TII
|
$20,700,000 principal, 0.13%, due 4/15/17
|
22,553,687 | |||||||
USTN TII
|
$10,250,000 principal, 0.50%, due 4/15/15
|
11,414,981 | |||||||
USTN TII
|
$7,420,600 principal, 0.00%, due 7/15/22
|
8,100,589 | |||||||
USTN TII
|
$12,300,000 principal, 0.13%, due 4/15/16
|
13,566,878 | |||||||
USTN TII
|
$10,400,000 principal, 0.63%, due 7/15/21
|
12,134,025 | |||||||
USTN TII
|
$7,410,900 principal, 0.75%, due 2/15/42
|
8,300,441 | |||||||
USTN TII
|
$7,400,000 principal, 0.88%, due 1/15/21
|
9,194,547 | |||||||
USTN TII
|
$9,350,000 principal, 1.25%, due 7/15/20
|
11,763,943 | |||||||
USTN TII
|
$7,310,000 principal, 1.38%, due 1/15/20
|
9,266,613 | |||||||
USTN TII
|
$2,125,000 principal, 1.38%, due 7/15/18
|
2,652,218 | |||||||
USTN TII
|
$6,750,000 principal, 1.63%, due 1/15/15
|
8,688,363 | |||||||
USTN TII
|
$3,150,000 principal, 1.63%, due 1/15/18
|
4,032,062 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||
USTN TII
|
$6,075,000 principal, 1.75%, due 1/15/28
|
$ | 8,690,075 | ||||||
USTN TII
|
$5,000,000 principal, 2.13%, due 1/15/19
|
6,541,390 | |||||||
USTN TII
|
$7,655,000 principal, 2.00%, due 1/15/26
|
11,713,406 | |||||||
USTN TII
|
$2,950,000 principal, 2.00%, due 2/15/40
|
4,624,806 | |||||||
USTN TII
|
$12,775,000 principal, 2.00%, due 7/15/14
|
16,543,874 | |||||||
USTN TII
|
$3,430,300 principal, 2.13%, due 2/15/41
|
5,343,211 | |||||||
USTN TII
|
$7,150,000 principal, 2.38%, due 1/15/25
|
11,850,331 | |||||||
USTN TII
|
$2,600,000 principal, 2.38%, due 1/15/27
|
4,113,980 | |||||||
USTN TII
|
$8,415,000 principal, 2.50%, due 1/15/29
|
12,932,706 | |||||||
USTN TII
|
$475,000 principal, 3.63%, due 4/15/28
|
1,079,231 | |||||||
USTN TII
|
$4,350,000 principal, 3.88%, due 4/15/29
|
10,140,896 | |||||||
USTN TII
|
$5,650,000 principal, 0.13%, due 1/15/22
|
6,269,076 | |||||||
USTPRIN
|
$1,100,000 principal, 0.00%, due 11/15/28
|
725,441 | |||||||
USTPRIN
|
$1,600,000 principal, 0.00%, due 11/15/39
|
704,152 | |||||||
USTPRIN
|
$2,100,000 principal, 0.00%, due 11/15/40
|
887,649 | |||||||
USTPRIN
|
$1,200,000 principal, 0.00%, due 2/15/31
|
734,590 | |||||||
USTPRIN
|
$6,200,000 principal, 0.00%, due 2/15/41
|
2,600,875 | |||||||
USTPRIN
|
$4,550,000 principal, 0.00%, due 5/15/40
|
1,965,063 | |||||||
USTPRIN
|
$4,200,000 principal, 0.00%, due 8/15/23
|
3,412,088 | |||||||
USTPRIN
|
$1,400,000 principal, 0.00%, due 8/15/28
|
932,378 | |||||||
USTPRIN
|
$1,600,000 principal, 0.00%, due 8/15/29
|
1,029,723 | |||||||
USTPRIN
|
$7,600,000 principal, 0.00%, due 8/15/40
|
3,245,732 | |||||||
US TRSY STRIP CPN
|
$100,000 principal, 0.00%, due 5/15/37
|
47,693 | |||||||
WFCM
|
$100,000 principal, 4.39%, due 11/15/43
|
114,433 | |||||||
1,518,758,402 | |||||||||
State and municipal bonds
|
|||||||||
AMERICAN MUN OH
|
$700,000 principal, 7.83%, due 2/15/41
|
980,231 | |||||||
AMERICAN MUN OH
|
$300,000 principal, 8.08%, due 2/15/50
|
440,649 | |||||||
BAB PASADENA PF TAXM
|
$100,000 principal, 7.15%, due 3/01/43
|
127,149 | |||||||
BATA CA
|
$1,500,000 principal, 7.04%, due 4/01/50
|
2,186,610 | |||||||
BATA CA
|
$300,000 principal, 6.91%, due 10/01/50
|
431,733 | |||||||
CA ST
|
$1,750,000 principal, 5.45%, due 4/1/15
|
1,922,165 | |||||||
CA ST
|
$2,025,000 principal, 7.50%, due 4/1/34
|
2,816,268 | |||||||
CA ST
|
$4,825,000 principal, 7.55%, due 4/1/39
|
6,956,685 | |||||||
CA ST
|
$1,450,000 principal, 7.30%, due 10/01/39
|
2,009,265 | |||||||
CA ST
|
$600,000 principal, 6.20%, due 10/1/19
|
731,322 | |||||||
CA ST
|
$1,100,000 principal, 7.63%, due 3/01/40
|
1,589,170 | |||||||
CA ST
|
$18,320,000 principal, 3.95%, due 11/01/15
|
19,752,257 | |||||||
CA ST AMBAC
|
$100,000 principal, 4.50%, due 08/01/28
|
107,140 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
State and municipal bonds (continued)
|
|||||||||
CA ST GO
|
$525,000 principal, 7.60%, due 11/01/40
|
$ | 766,957 | ||||||
CA ST UNIV REV
|
$100,000 principal, 6.48%, due 11/01/41
|
118,438 | |||||||
CHICAGO IL TR AU ST
|
$100,000 principal, 6.20%, due 12/1/40
|
113,077 | |||||||
DALLAS TX DART
|
$100,000 principal, 6.25%, due 12/01/34
|
114,997 | |||||||
DALLAS TX DART
|
$100,000 principal, 5.02%, due 12/1/48
|
119,794 | |||||||
DALLAS TX WTR
|
$500,000 principal, 5.00%, due 10/01/37
|
587,140 | |||||||
GA MEAG
|
$700,000 principal, 6.66%, due 4/1/57
|
831,208 | |||||||
HAMILTON OH SLS
|
$100,000 principal, 0.00%, due 12/01/28
|
52,188 | |||||||
HARRIS CNTY TX
|
$300,000 principal, 6.88%, due 11/01/38
|
357,066 | |||||||
IA TOBACCO 05B
|
$100,000 principal, 5.60%, due 6/01/34
|
96,491 | |||||||
IL ST
|
$5,000,000 principal, 4.07%, due 1/01/14
|
5,146,600 | |||||||
IL ST
|
$9,185,000 principal, 4.51%, due 3/01/15
|
9,761,910 | |||||||
IL ST
|
$2,025,000 principal, 4.97%, due 3/01/16
|
2,218,003 | |||||||
IL ST
|
$3,500,000 principal, 5.37%, due 03/01/17
|
3,923,920 | |||||||
IL ST
|
$2,475,000 principal, 5.67%, due 03/01/18
|
2,819,743 | |||||||
INDIANAPOLIS
|
$100,000 principal, 6.00%, due 1/15/40
|
126,570 | |||||||
LA CA
|
$1,800,000 principal, 6.76%, due 7/01/34
|
2,402,622 | |||||||
LA CA DWAP TAXM
|
$700,000 principal, 6.57%, due 7/01/45
|
980,721 | |||||||
MI ST UNIV
|
$100,000 principal, 6.17%, due 2/15/50
|
122,106 | |||||||
MUNICIPAL EC AT GA
|
$300,000 principal, 6.64%, due 4/01/57
|
358,353 | |||||||
MWAA DULLES TOL
|
$100,000 principal, 7.46%, due 10/1/46
|
121,510 | |||||||
NEW YORK NY TAXM
|
$300,000 principal, 6.27%, due 12/1/37
|
401,715 | |||||||
NJ TOBACCO 1A
|
$150,000 principal, 5.00%, due 6/1/41
|
135,888 | |||||||
NJ TPK
|
$2,900,000 principal, 7.10%, due 1/01/41
|
4,179,857 | |||||||
NJ TRANS BAB
|
$200,000 principal, 6.88%, due 12/15/39
|
229,860 | |||||||
NO CA PWR
|
$100,000 principal, 7.31%, due 6/1/40
|
127,772 | |||||||
NY CITY MUNWTR
|
$100,000 principal, 6.12%, due 6/15/42
|
117,041 | |||||||
NY CITY MWFAWSR TAXM
|
$4,100,000 principal, 5.44%, due 6/15/43
|
125,324 | |||||||
NY MTA TRANSP
|
$1,100,000 principal, 6.81%, due 11/15/40
|
1,453,969 | |||||||
NYC TFA (PIT)
|
$100,000 principal, 5.27%, due 5/1/27
|
121,565 | |||||||
NYC WTR
|
$400,000 principal, 5.25%, due 06/15/44
|
468,788 | |||||||
NYC WTR
|
$900,000 principal, 5.72%, due 6/15/42
|
1,168,002 | |||||||
PR GDB
|
$2,530,000 principal, 3.45%, due 2/01/15
|
2,510,342 | |||||||
RIVERSIDE CA ELEC
|
$100,000 principal, 7.61%, due 10/1/40
|
136,539 | |||||||
RIVERSIDE CA SWR
|
$800,000 principal, 7.20%, due 8/1/39
|
927,336 | |||||||
SAN ANTONIO E&G
|
$100,000 principal, 5.72%, due 2/01/41
|
129,050 | |||||||
SAN DIEGO CTY
|
$500,000 principal, 6.14%, due 5/01/49
|
665,485 | |||||||
TEXAS TRANSP HWY
|
$200,000 principal, 5.03%, due 4/01/26
|
243,480 | |||||||
84,332,071 |
Hewlett-Packard Company 401(k) Plan
|
|||||||||||||
EIN: 94-1081436 PN: 004
|
|||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
|||||||||||||
December 31, 2012
|
|||||||||||||
(b) |
(c)
|
(e)
|
|||||||||||
Identity of Issue, Borrower, |
Descripton of Investment Including Maturity Date,
|
Current
|
|||||||||||
(a)
|
Lessor, or Similar Party |
Rate of Interest, Collateral, Par, or Maturity Value
|
Value
|
Foreign obligations
|
|||||||||
BANCO BRAD
|
$800,000 principal, 1.95%, due 1/24/13
|
$ | 800,465 | ||||||
COLOMBIA REP GL
|
$100,000 principal, 6.13%, due 1/18/41
|
137,000 | |||||||
HYDRO-QUEBEC
|
$301,023 principal, 6.50%, due 2/15/35
|
435,092 | |||||||
ISRAEL GLBL
|
$800,000 principal, 5.50%, due 12/4/23
|
1,055,071 | |||||||
ISRAEL GOVT
|
$1,300,000 principal, 0.00%, due 2/15/24
|
964,570 | |||||||
KOREA GOVT
|
$7,756,326 principal, 4.00%, due 3/10/16
|
8,040,319 | |||||||
KOREA REP GLB
|
$1,900,000 principal, 5.75%, due 4/16/14
|
2,019,284 | |||||||
MEXICO GOV
|
$100,000 principal, 6.05%, due 1/11/40
|
134,250 | |||||||
MEXICO GOVT
|
$6,342,690 principal, 9.00%, due 6/20/13
|
6,513,398 | |||||||
MOROCCO AID
|
$459,488 principal, 7.55%, due 7/15/26
|
635,696 | |||||||
ONTARIO PROVINCE
|
$100,341 principal, 4.60%, due 6/2/39
|
120,634 | |||||||
ONTARIO PROVINCE
|
$301,023 principal, 5.60%, due 6/2/35
|
403,122 | |||||||
QATAR ST
|
$100,000 principal, 6.40%, due 1/20/40
|
139,800 | |||||||
QUEBEC PROVINCE
|
$401,365 principal, 4.25%, due 12/01/43
|
457,730 | |||||||
QUEBEC PROVINCE
|
$3,511,941 principal, 5.75%, due 12/1/36
|
4,733,357 | |||||||
UNITED MEX
|
$100,000 principal, 5.75%, due 10/12/19
|
121,250 | |||||||
UNITED MEXICAN GLB
|
$200,000 principal, 5.95%, due 3/19/19
|
246,000 | |||||||
26,957,038 |
Self-directed brokerage accounts
|
Various
|
329,567,737
|
|||||||
Total investments
|
14,380,302,112
|
||||||||
Notes receivable from participants
|
|||||||||
*
|
Participant loans
|
Interest rates ranging from 3.25% to 11.5%
|
231,305,214
|
||||||
With maturity dates through 2037
|
|||||||||
Total
|
$ |
14,611,607,326
|
|||||||
* Indicates party-in-interest to the Plan.
|
|||||||||
Note: Column (d), cost, has been omitted as all investments are participant-directed.
|
HEWLETT-PACKARD COMPANY 401(k) PLAN
|
|||
/s/ Rishi Varma | |||
June 24, 2013
|
Rishi Varma
|
||
Senior Vice President,
Deputy General Counsel and Assistant Secretary
|