ý | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934. |
o | TRANSITION REPORT PURSUANT TO 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934. |
PAGE | ||
1 | ||
FINANCIAL STATEMENTS: | ||
2 | ||
3 | ||
4-16 | ||
SUPPLEMENTAL SCHEDULE: | ||
17-39 | ||
40 | ||
41 |
2014 | 2013 | |||||||
ASSETS: | ||||||||
Participant-directed investments: | ||||||||
Investments at fair value (Notes 2, 4, 5 and 6) | $ | 1,063,391,382 | $ | 1,059,391,861 | ||||
Receivables: | ||||||||
Notes receivable from participants | 25,642,627 | 25,174,262 | ||||||
Participant contributions | 1,741,005 | 1,496,613 | ||||||
Employer contributions | 528,680 | 458,425 | ||||||
Interest and other | 787,266 | 1,047,002 | ||||||
Total receivables | 28,699,578 | 28,176,302 | ||||||
Total assets | 1,092,090,960 | 1,087,568,163 | ||||||
LIABILITIES: | ||||||||
Payable for securities purchased | 1,361,480 | — | ||||||
Accrued administrative expenses | 397,326 | 104,959 | ||||||
NET ASSETS REFLECTING ALL INVESTMENTS AT FAIR VALUE | 1,090,332,154 | 1,087,463,204 | ||||||
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE FOR FULLY BENEFIT- RESPONSIVE INVESTMENT CONTRACTS | (1,903,347 | ) | (1,495,140 | ) | ||||
NET ASSETS AVAILABLE FOR BENEFITS | $ | 1,088,428,807 | $ | 1,085,968,064 |
ADDITIONS: | |||
Contributions (Note 1): | |||
Participants | $ | 51,208,570 | |
Employer | 18,552,267 | ||
Rollover | 3,738,887 | ||
Total contributions | 73,499,724 | ||
Investment income (Note 2): | |||
Dividend, interest, and other income | 12,310,598 | ||
Net realized/unrealized appreciation in fair value of investments (Note 5) | 60,372,490 | ||
Total investment income | 72,683,088 | ||
Interest income on notes receivable from participants | 1,066,118 | ||
Total additions | 147,248,930 | ||
DEDUCTIONS: | |||
Distributions to participants | 142,318,512 | ||
Administrative expenses | 2,469,675 | ||
Total deductions | 144,788,187 | ||
INCREASE IN NET ASSETS | 2,460,743 | ||
NET ASSETS AVAILABLE FOR BENEFITS: | |||
Beginning of year | 1,085,968,064 | ||
End of year | $ | 1,088,428,807 |
2014 | 2013 | |||||
Weighted average yield earned | 1.339 | % | 0.947 | % | ||
Weighted average yield credit to participants accounts | 1.463 | % | 1.127 | % |
2014 | 2013 | |||||||
SSgA S&P 500 Flagship Securities** | $ | 210,927,070 | $ | 198,262,084 | ||||
BlackRock US Debt Index NL | 106,378,045 | — | ||||||
SSgA Global All Cap Equity NL | 103,068,070 | — | ||||||
Pinnacle West Common Stock* | 93,510,720 | 91,073,685 | ||||||
American Funds EuroPacific Growth Fund | 75,956,470 | 131,753,807 | ||||||
SSgA Russell Small/Mid Cap Index NL | 68,558,657 | — | ||||||
PIMCO Total Return Fund Inst. | — | 85,478,634 | ||||||
SSgA Russell 1000 Growth Index** | — | 83,726,048 | ||||||
BlackRock Value Opportunities | — | 55,163,210 |
Common and Collective Trusts | $ | 23,934,970 | |
Pinnacle West Stock Fund | 22,825,248 | ||
Mutual Funds | 12,004,621 | ||
Common Stocks | 1,830,248 | ||
Self-Directed Brokerage Account | (222,597 | ) | |
Net realized/unrealized appreciation in fair value of investments | $ | 60,372,490 |
• | SSgA S&P 500 Index Non-Lending Series Fund Class A - seeks to replicate the performance of the S&P 500 Index by investing in common stock of large-cap US companies. |
• | SSgA Russell Small/Mid Cap Index Non-Lending Series Fund Class A - seeks to replicate the performance of the Russell Small Cap Completeness Index by investing in common stocks of small to mid-sized US companies. |
• | William Blair Small/Mid Cap Growth Collective Fund - seeks long-term capital appreciation by primarily investing in common stocks of small and mid-cap US companies. |
• | SSgA Global All Cap Equity Ex US Index Non-Lending Series Fund Class A - seeks to replicate the performance of the MSCI ACWI ex USA IMI Index by investing in other collective investment trusts that hold equity investments in developing markets. |
• | Blackrock US Debt Index Non Lending Fund M - seeks to replicate the Barclays US Aggregate Bond Index by investing in other collective investment trusts that hold fixed-income instruments. |
• | Principal Diversified Real Asset Collective Investment Trust Tier 2 - seeks a long-term total return in excess of inflation by investing in a mix of fixed-income instruments and common stock. |
Quoted Price in Active Markets for Identical Assets (Level 1) | Significant Other Observable Inputs (Level 2) | Balance as of December 31, 2014 | ||||||||||
Common Stocks | $ | 58,330,839 | $ | — | $ | 58,330,839 | ||||||
Short-Term Investments | 13,929,016 | — | 13,929,016 | |||||||||
Mutual Funds: | ||||||||||||
International Equity Funds | 75,956,470 | — | 75,956,470 | |||||||||
Fixed Income Funds | 46,033,754 | — | 46,033,754 | |||||||||
Synthetic GICs: | ||||||||||||
US Government Fixed Income | — | 33,903,768 | 33,903,768 | |||||||||
Corporate Fixed Income | — | 35,223,185 | 35,223,185 | |||||||||
Mortgage Backed Securities | — | 48,061,152 | 48,061,152 | |||||||||
Asset Backed Securities | — | 21,138,967 | 21,138,967 | |||||||||
Pinnacle West Common Stock | 93,510,720 | — | 93,510,720 | |||||||||
Self-Directed Brokerage Account: | ||||||||||||
Common Stocks | 34,856,634 | — | 34,856,634 | |||||||||
Mutual Funds | 18,330,214 | — | 18,330,214 | |||||||||
Cash and Other | 14,063,767 | — | 14,063,767 | |||||||||
Total Classified in Hierarchy | $ | 355,011,414 | $ | 138,327,072 | 493,338,486 | |||||||
Common and Collective Trusts (a): | ||||||||||||
US Equity Trusts | 294,900,930 | |||||||||||
International Equity Trust | 103,068,070 | |||||||||||
Fixed-Income Trust | 106,378,045 | |||||||||||
Diversified Trust | 45,294,878 | |||||||||||
Total Common and Collective Trusts | 549,641,923 | |||||||||||
Synthetic GICs Common and Collective Bond Trust (a) | 20,410,973 | |||||||||||
Total | $ | 1,063,391,382 |
Quoted Price in Active Markets for Identical Assets (Level 1) | Significant Other Observable Inputs (Level 2) | Balance as of December 31, 2013 | ||||||||||
Mutual Funds: | ||||||||||||
Short Term Investment Trusts | $ | 52,404,523 | $ | — | $ | 52,404,523 | ||||||
US Equity Funds | 130,019,915 | — | 130,019,915 | |||||||||
International Equity Funds | 131,753,807 | — | 131,753,807 | |||||||||
Lifestyle Funds | 96,647,843 | — | 96,647,843 | |||||||||
Bond Funds | 85,478,634 | — | 85,478,634 | |||||||||
Synthetic GICs: | ||||||||||||
US Government Fixed Income | — | 37,783,332 | 37,783,332 | |||||||||
Corporate Fixed Income | — | 38,254,505 | 38,254,505 | |||||||||
Mortgage Backed Securities | — | 48,735,728 | 48,735,728 | |||||||||
Other | — | 19,989,509 | 19,989,509 | |||||||||
Pinnacle West Common Stock | 89,534,766 | — | 89,534,766 | |||||||||
Self-Directed Brokerage Account: | ||||||||||||
Common Stocks | 29,741,761 | — | 29,741,761 | |||||||||
Mutual Funds | 8,324,946 | — | 8,324,946 | |||||||||
Cash and Other | 8,734,460 | — | 8,734,460 | |||||||||
Total Classified in Hierarchy | $ | 632,640,655 | $ | 144,763,074 | 777,403,729 | |||||||
Common and Collective Trusts - US Equity Trusts (a) | 281,988,132 | |||||||||||
Total | $ | 1,059,391,861 |
2014 | 2013 | |||||||
Net Assets Available for Benefits per the financial statements | $ | 1,088,428,807 | $ | 1,085,968,064 | ||||
Adjustment from contract value to fair value for fully benefit-responsive investment contracts | 1,903,347 | 1,495,140 | ||||||
Deemed distribution of participant loans | (157,072 | ) | (159,157 | ) | ||||
Net Assets per Form 5500 | $ | 1,090,175,082 | $ | 1,087,304,047 |
Increase in Net Assets Available for Benefits per the financial statements | $ | 2,460,743 | ||
Adjustment from contract value to fair value for fully benefit-responsive stable value fund — December 31, 2014 | 1,903,347 | |||
Adjustment from contract value to fair value for fully benefit-responsive stable value fund — December 31, 2013 | (1,495,140 | ) | ||
Deemed distribution of participant loans - 2014 | (157,072 | ) | ||
Deemed distribution of participant loans - 2013 | 159,157 | |||
Net Income per Form 5500 | $ | 2,871,035 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
Common Stocks | |||||
HS Large Capitalization Growth Equity Fund | US Large Cap Stock Fund | ||||
AMC NETWORKS INC CL A | 990,029 | ||||
ANHEUSER BUSCH IV SA NV S | 421,200 | ||||
APPLE INC | 1,448,738 | ||||
CHEESECAKE FACTORY INC | 740,815 | ||||
DIAGEO PLC SPON ADR | 872,789 | ||||
DISNEY (WALT) CO | 927,772 | ||||
EBAY INC | 987,712 | ||||
GOOGLE INC CL C | 1,684,480 | ||||
WW GRAINGER INC | 895,938 | ||||
LVMH MOET HENNESSY ADR | 1,143,242 | ||||
LULULEMON ATHLETICA INC | 783,850 | ||||
NESTLE SA REG ADR | 858,986 | ||||
NIKE INC CL B | 146,629 | ||||
PRICELINE GROUP INC | 1,647,603 | ||||
RALPH LAUREN CORP | 1,270,198 | ||||
SCRIPPS NETWORK INTE CL A | 1,095,179 | ||||
STARBUCKS CORP | 348,713 | ||||
TIME WARNER INC | 1,270,623 | ||||
UNITED PARCEL SVCS CL B | 697,592 | ||||
VISA INC CL A | 1,004,226 | ||||
WHOLE FOODS MARKET INC | 699,578 | ||||
WILLIAMS-SONOMA INC | 1,012,220 | ||||
BBH STIF FUND | 1,393,773 | ||||
SUBTOTAL | 22,341,885 | ||||
Robeco Boston Partners Large Capitalization Value Equity Fund | US Large Cap Stock Fund | ||||
ABBVIE INC | 197,171 | ||||
ACE LTD | 315,575 | ||||
ACTIVISION BLIZZARD INC | 169,522 | ||||
AES CORP | 234,131 | ||||
AGCO CORP | 22,193 | ||||
ALLSTATE CORPORATION | 397,123 | ||||
AMERICAN HOMES 4 REN CL A | 84,026 | ||||
AON PLC | 128,684 | ||||
APOLLO EDUCATION GROUP CL | 142,955 | ||||
APPLE INC | 534,018 | ||||
AVERY DENNISON CORP | 116,678 | ||||
AVON PRODUCTS INC | 20,930 | ||||
BARRICK GOLD CORP (USA) | 56,717 | ||||
BB&T CORP | 105,625 | ||||
BERKSHIRE HATHAWAY CL B | 859,008 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
BROCADE COMM SYS | 204,216 | ||||
CALIFORNIA RES CORP | 2,953 | ||||
CANADIAN NAT'L RES (USD) | 185,249 | ||||
CAPITAL ONE FIN CORP | 646,779 | ||||
CISCO SYSTEMS INC | 470,602 | ||||
CITIGROUP INC | 850,555 | ||||
COACH INC | 21,672 | ||||
COMCAST CORP CL A | 401,023 | ||||
COVIDIEN PLC | 173,671 | ||||
CRANE CO | 120,981 | ||||
CROWN HOLDINGS INC | 143,538 | ||||
CVS HEALTH CORP | 464,311 | ||||
DELTA AIR INC | 258,002 | ||||
DISCOVER FIN SVCS | 281,214 | ||||
DISCOVERY COMM CL A | 21,876 | ||||
DOVER CORP | 44,610 | ||||
EMC CORP | 397,356 | ||||
EMERSON ELECTRIC CO | 94,138 | ||||
ENERGEN CORP | 114,258 | ||||
EOG RESOURCES INC | 190,401 | ||||
EQT CORPORATION | 152,308 | ||||
EXPRESS SCRIPTS HLDG CO | 366,452 | ||||
EXXON MOBIL CORP | 162,712 | ||||
FIDELITY NATL INFORM SVCS | 92,927 | ||||
FIFTH THIRD BANCORP | 319,602 | ||||
FLUOR CORP | 21,645 | ||||
FREEPORT MCMORAN INC | 41,114 | ||||
GAP INC | 196,106 | ||||
GENERAL DYNAMICS CORPORAT | 123,308 | ||||
GILEAD SCIENCES INC | 58,535 | ||||
GLOBAL PAYMENTS INC | 58,691 | ||||
HOME DEPOT INC | 207,526 | ||||
HONEYWELL INTL INC | 96,023 | ||||
HUNTSMAN CORP | 160,804 | ||||
INTERNATIONAL PAPER CO | 162,615 | ||||
JOHNSON & JOHNSON | 540,522 | ||||
JPMORGAN CHASE & CO | 778,057 | ||||
LEAR CORP NEW | 207,537 | ||||
LIBERTY BROADBAND CORP A | 22,140 | ||||
LIBERTY BROADBAND CORP C | 44,091 | ||||
LIBERTY BROADBAND RT 1/15 | 2,518 | ||||
LIBERTY GLOBAL PLC CL C | 352,228 | ||||
LIBERTY MEDIA CLASS C | 124,041 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
LIBERTY MEDIA CORP CL A | 62,463 | ||||
LOCKHEED MARTIN CORP | 420,380 | ||||
MACYS INC | 139,982 | ||||
MARATHON PETROLEUM CORP | 182,054 | ||||
MCKESSON CORP | 75,352 | ||||
MEDTRONIC INC | 274,649 | ||||
METLIFE INC | 126,949 | ||||
MICROSOFT CORP | 437,745 | ||||
NXP SEMICONDUCTORS NV | 103,369 | ||||
OCCIDENTAL PETROLEUM CORP | 275,122 | ||||
OMNICARE INC | 204,933 | ||||
OMNICOM GROUP INC | 92,809 | ||||
ON SEMICONDUCTOR CORP | 103,711 | ||||
ORACLE CORP | 318,073 | ||||
OWENS ILLINOIS INC | 7,935 | ||||
PFIZER INC | 610,945 | ||||
PHILLIPS 66 | 351,043 | ||||
PRUDENTIAL FINANCIAL INC | 194,760 | ||||
QEP RESOURCES INC | 119,399 | ||||
QUALCOMM INC | 188,575 | ||||
QUEST DIAGNOSTICS INC | 145,856 | ||||
RAYTHEON CO | 303,417 | ||||
RICE ENERGY INC | 32,524 | ||||
SCRIPPS NETWORK INTE CL A | 119,152 | ||||
SEAGATE TECHNOLOGY | 110,989 | ||||
SHIRE PLC SPON ADR | 87,354 | ||||
SIX FLAGS ENTERTAINMENT | 103,431 | ||||
TE CONNECTIVITY LTD | 175,772 | ||||
TEREX CORP | 21,356 | ||||
TEVA PHARMACEUTICAL IND A | 236,136 | ||||
TIME INC | 54,117 | ||||
TIME WARNER INC | 174,598 | ||||
TRAVELERS COMPANIES INC | 246,207 | ||||
TYSON FOODS INC CL A | 248,999 | ||||
UNITED CONTINENTAL HLDGS | 96,790 | ||||
VALIDUS HOLDING | 69,156 | ||||
VERIZON COMM INC | 221,036 | ||||
WELLS FARGO & CO | 836,224 | ||||
WESTERN DIGITAL CORP | 237,119 | ||||
WYNN RESORTS LTD | 21,421 | ||||
ZIMMER HOLDINGS INC | 162,531 | ||||
BBH STIF FUND | 210,317 | ||||
SUBTOTAL | 20,968,013 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
Robeco Small/Mid Capitalization Value Equity Fund | US Small/Mid Cap Stock Fund | ||||
ABERCROMBIE & FITCH CL A | 136,269 | ||||
ABM INDUSTRIES INC | 115,316 | ||||
ACTUANT CORP CL A | 40,806 | ||||
AEGION CORP | 46,116 | ||||
AMDOCS LTD | 106,560 | ||||
AMERICAN CAP MTG INVSTMNT | 41,599 | ||||
AMERICAN CAPITAL AGENCY | 64,268 | ||||
AMERICAN EAGLE OUTFITTERS | 150,362 | ||||
AMERICAN RESIDENTIAL PPTY | 98,673 | ||||
AMSURG CORP | 110,938 | ||||
ANWORTH MTG ASSET CORP | 34,487 | ||||
APOLLO INVT CORP | 21,592 | ||||
ARES CAPITAL CORP | 45,754 | ||||
ARES COMMERCIAL REAL ESTA | 96,914 | ||||
ARROW ELECTRONICS INC | 211,762 | ||||
ASBURY AUTOMOTIVE GROUP | 49,500 | ||||
ASCENA RETAIL GROUP INC | 109,712 | ||||
ASSURANT INC | 53,718 | ||||
AVNET INC | 181,501 | ||||
AXIS CAPITAL HOLDINGS LTD | 125,375 | ||||
BELDEN INC | 51,936 | ||||
BOOZ ALLEN HAMILTON CL A | 52,848 | ||||
BRADY CORPORATION CL A | 109,415 | ||||
BRINKS CO | 27,339 | ||||
BRISTOW GROUP INC | 40,461 | ||||
BROCADE COMM SYS | 111,332 | ||||
CABOT CORP | 51,404 | ||||
CARLISLE COS INC | 82,840 | ||||
CDW CORPORATION | 169,836 | ||||
CENTENE CORP | 61,998 | ||||
CHATHAM LODGING TRUST | 132,190 | ||||
CHEMED CORP | 179,005 | ||||
CLOUD PEAK ENERGY INC | 60,294 | ||||
COHERENT INC | 71,346 | ||||
COLONY FINANCIAL INC | 143,920 | ||||
COLUMBIA BANKING SYS INC | 32,166 | ||||
CONTANGO OIL & GAS CO | 54,913 | ||||
CROWN HOLDINGS INC | 152,089 | ||||
CUBIC CORP | 133,495 | ||||
CURTISS WRIGHT CORPORATIO | 105,673 | ||||
CYS INVESTMENTS INC | 173,720 | ||||
DILLARDS INC CL A | 164,612 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
DREW INDUSTRIES INC | 182,831 | ||||
ENERSYS INC | 153,189 | ||||
EQUIFAX INC | 78,201 | ||||
ESSENT GROUP LTD | 59,827 | ||||
EXPRESS INC | 79,326 | ||||
FEDERATED INVS CL B NV | 74,290 | ||||
FIFTH STREET FINANCE CORP | 61,949 | ||||
FINISH LINE INC CL A | 112,580 | ||||
FIRST AMERICAN FIN CORP | 67,664 | ||||
FIRST CITIZEN BANCSHARES | 60,164 | ||||
FIRST REPUBLIC BANK | 79,796 | ||||
FLEXTRONICS INTL LTD | 118,642 | ||||
FNF GROUP | 117,371 | ||||
FOOT LOCKER INC | 146,293 | ||||
FORUM ENERGY TECH INC | 68,616 | ||||
FRESH DEL MONTE PRODUCE | 66,161 | ||||
FTD COS INC | 77,579 | ||||
FTI CONSULTING INC | 44,772 | ||||
G & K SERVICES INC CL A | 60,506 | ||||
GLOBE SPECIALTY METALS | 67,645 | ||||
GRANITE CONSTRUCTION INC | 86,153 | ||||
GRAPHIC PACKAGING HLDGS C | 275,151 | ||||
GROUP 1 AUTOMOTIVE INC | 78,418 | ||||
HANGER INC | 63,860 | ||||
HANOVER INSURANCE GROUP | 48,212 | ||||
HARRIS CORP | 109,095 | ||||
HATTERAS FINANCIAL CORP | 148,030 | ||||
HEIDRICK & STRUGGLES INTL | 53,799 | ||||
HELIX ENERGY SOL GRP INC | 75,408 | ||||
HILLENBRAND INC | 80,144 | ||||
HUNTINGTON BANCSHARES INC | 112,164 | ||||
HUNTINGTON INC W/I | 136,077 | ||||
HUNTSMAN CORP | 56,950 | ||||
IAC/INTERACTIVECORP | 66,383 | ||||
ICF INTERNATIONAL INC | 3,647 | ||||
ICON PLC | 96,218 | ||||
INFINITY PPTY & CASUALTY | 40,716 | ||||
INGRAM MICRO INC CL A | 131,511 | ||||
INSIGHT ENTERPRISES INC | 38,861 | ||||
INTEGRA LIFESCIENCES HLDS | 80,640 | ||||
INTERNATIONAL SPEEDW A (1 | 30,795 | ||||
INVESTORS BANCORP INC NEW | 109,511 | ||||
KAR AUCTION SERVICES INC | 162,335 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
KINDRED HEALTHCARE INC | 95,481 | ||||
KNOLL INC | 53,687 | ||||
KOSMOS ENERGY LTD | 60,836 | ||||
LANDSTAR SYSTEM INC | 47,652 | ||||
LEAR CORP NEW | 166,246 | ||||
LIFEPOINT HOSPITALS INC | 73,348 | ||||
LIVE NATION ENTERTAINMENT | 84,309 | ||||
LSB INDUSTRIES INC | 63,132 | ||||
MAGNACHIP SEMICONDUCTOR | 42,036 | ||||
MAIDEN HLDGS LTD | 196,736 | ||||
MANPOWERGROUP INC | 75,192 | ||||
MATTHEWS INTL CORP CL A | 40,931 | ||||
MAXIMUS INC | 60,050 | ||||
MENS WEARHOUSE INC | 92,450 | ||||
MFA FINANCIAL INC | 144,611 | ||||
MRC GLOBAL INC | 63,857 | ||||
MUELLER INDUSTRIES INC | 35,949 | ||||
NATIONSTAR MORTGAGE HLDGS | 104,444 | ||||
NAVIGANT CONSULTING INC | 116,366 | ||||
NU SKIN ENTERPRISES CL A | 94,654 | ||||
OCWEN FINANCIAL CORP | 75,047 | ||||
OMNICARE INC | 170,292 | ||||
ON SEMICONDUCTOR CORP | 136,796 | ||||
OWENS AND MINOR INC | 40,903 | ||||
PACKAGING CORP OF AMERICA | 176,393 | ||||
PAREXEL INTL CORP | 44,226 | ||||
PARSLEY ENERGY INC CL A | 127,520 | ||||
PARTNERRE LTD | 80,804 | ||||
PBF ENERGY INC CL A | 16,064 | ||||
PHH CORP | 161,131 | ||||
PLATINUM UNDERWRITERS HLD | 178,484 | ||||
PNM RESOURCES INC | 100,179 | ||||
QEP RESOURCES INC | 69,557 | ||||
QTS REALTY TR INC CL A | 50,185 | ||||
RADIAN GROUP INC | 86,292 | ||||
RAYMOND JAMES FIN INC. | 112,460 | ||||
RCS CAPITAL CORP CL A | 87,075 | ||||
REALOGY HOLDINGS CORP | 65,623 | ||||
REINSURANCE GROUP OF AMER | 132,043 | ||||
RENT A CTR INC | 83,754 | ||||
RICE ENERGY INC | 77,589 | ||||
RITE AID CORP | 79,554 | ||||
ROCK TENN COMPANY CL A | 85,372 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
ROSETTA RESOURCES INC | 18,897 | ||||
RPX CORP | 106,065 | ||||
SCHWEITZER-MAUDUIT INTL | 74,913 | ||||
SELECT MEDICAL HLDGS CORP | 65,318 | ||||
SENSIENT TECH CORP | 43,565 | ||||
SERVICE CORP INTL INC | 45,650 | ||||
SILVER BAY RLTY TR CORP | 42,774 | ||||
SKECHERS USA INC CL A | 45,692 | ||||
STANCORP FINL GROUP INC | 35,908 | ||||
STOCK BLDG SUPPLY HLDGS | 75,053 | ||||
SVB FINL GROUP | 71,035 | ||||
SYKES ENTERPRISES INC | 53,465 | ||||
SYMETRA FINANCIAL CORP | 89,595 | ||||
SYMMETRY SURGICAL INC | 12,199 | ||||
SYNNEX CORP | 160,384 | ||||
TELETECH HOLDINGS INC | 23,348 | ||||
TEMPUR SEALY INTL INC | 47,168 | ||||
TERADYNE INC | 82,227 | ||||
TEREX CORP | 72,739 | ||||
TETRA TECH INC | 77,243 | ||||
THOR INDUSTRIES INC | 157,777 | ||||
THORATEC CORP | 95,108 | ||||
TIMKEN CO | 100,725 | ||||
TORCHMARK CORP | 76,813 | ||||
TRIQUINT SEMICONDUCTOR | 151,993 | ||||
TWO HBRS INVT CORP | 173,326 | ||||
UNIVERSAL CORP | 75,778 | ||||
VALIDUS HOLDING | 190,220 | ||||
WALKER & DUNLOP INC | 120,026 | ||||
WESCO INTERNATIONAL INC | 82,764 | ||||
WESTERN REFINING INC | 134,837 | ||||
WORLD FUEL SERVICES CORP | 220,053 | ||||
BBH STIF FUND | 383,439 | ||||
SUBTOTAL | 15,020,941 | ||||
Total common stocks | 58,330,839 | ||||
Common and Collective Trusts | |||||
Blackrock US Debt Index NL Fund M | US Bond Index | 106,378,045 | |||
Principal Diversified Real Asset Collective Investment Trust Tier 2 | Diversified Inflation Fund | 45,294,878 | |||
SSgA Global All Cap Equity Ex US Index Non-Lending Series Fund Class A | Non-US Stock Index | 103,068,070 | |||
SSgA S&P 500 Index Non-Lending Series Fund Class A | US Large Cap Stock Fund/Index | 210,927,070 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
SSgA Russell Small/Mid Cap Index Non-Lending Series Fund Class A | US Small/Mid Cap Stock Fund/Index | 68,558,657 | |||
William Blair Small/Mid Cap Growth Collective Fund | US Small/Mid Cap Stock Fund | 15,415,203 | |||
Total common and collective trusts | 549,641,923 | ||||
Mutual Funds | |||||
Fidelity Institutional Money Market: Government Portfolio - Class I* | Short-Term Investments*** | 12,719,461 | |||
Fidelity Institutional Money Market: Money Market Portfolio - Class I* | Short-Term Investments*** | 1,205,587 | |||
Federated Treasury Obligations Fund — Institutional Shares | Short-Term Investments*** | 3,968 | |||
American Funds EuroPacific Growth Fund R6 Shares | Non-US Stock Fund | 75,956,470 | |||
Dodge & Cox Income Fund 1 Shares | Bond Fund | 23,022,646 | |||
Metropolitan West Total Return Bond Fund Institutional Shares | Bond Fund | 23,011,108 | |||
Total mutual funds | 135,919,240 | ||||
Synthetic GICs | |||||
Bank of America Wrap yield 2.544% | |||||
FG 5.000 0220 5.000% maturity date 02/01/2020 | 76,100 | ||||
FG 5.500 0722 5.500% maturity date 7/01/2022 | 64,908 | ||||
FHR 3728 EA 3.500% maturity date 9/15/2020 | 49,469 | ||||
FNR 15 CB 5.000% maturity date 3/25/2018 | 359,687 | ||||
RGA Reinsurance yield 1.747% | |||||
Morley Stable Income Bond Fund Common and Collective Trust | 20,410,973 | ||||
Transamerica Life Ins Co Wrap yield 1.549% | |||||
ABBNVX 1.625 0517 1.625 % maturity date 5/08/2017 | 50,284 | ||||
T 1.400 1217 1.400% maturity date 12/01/2017 | 654,148 | ||||
SO 5.200 0116 5.200% maturity date 1/15/2016 | 350,080 | ||||
AMOT 5 A2 1.6000% maturity date 10/15/2019 | 244,513 | ||||
ALLYL SN1 A3 0.750% maturity date 02/21/2017 | 74,886 | ||||
ALLYA 1 A3 0.970% maturity date 10/15/2018 | 89,716 | ||||
ALLYL SN2 A3 1.030% maturity date 09/20/2017 | 204,582 | ||||
ALLYA 2 A3 1.250% maturity date 04/15/2019 | 199,806 | ||||
AMXCA 2 A 1.260% maturity date 01/15/2020 | 59,890 | ||||
AMXCA 3 A 1.490% maturity date 04/15/2020 | 75,118 | ||||
AMXCA 4 A 1.430% maturity date 06/15/2020 | 209,724 | ||||
AXP 2.375 0317 2.375% maturity date 3/24/2017 | 493,943 | ||||
AXP 2.125 0319 2.125% maturity date 03/18/2019 | 85,410 | ||||
AXP 2.250 0819 2.250% maturity date 08/15/2019 | 90,779 | ||||
HNDA 1.125 1016 1.125% maturity date 10/07/2016 | 20,145 | ||||
HNDA 2.125 1018 2.125% maturity date 10/10/2018 | 60,652 | ||||
HNDA 2.250 0819 2.250% maturity date 08/15/2019 | 343,474 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
ABIBB 2.150 0219 2.150% maturity date 02/01/2019 | 167,143 | ||||
ABIBB 1.125 0117 1.125% maturity date 01/27/2017 | 166,255 | ||||
BBT 2.450 0120 2.450% maturity date 01/15/2020 | 74,812 | ||||
BPLN 1.375 1117 1.375% maturity date 11/06/2017 | 54,516 | ||||
BPLN 2.241 0918 2.241% maturity date 9/26/2018 | 70,612 | ||||
BPLN 2.521 0120 2.521% maturity date 01/15/2020 | 140,722 | ||||
BACM 5 A4 5.115% maturity date 10/10/2045 | 26,623 | ||||
BACM 6 A4 5.152% maturity date 9/10/2047 | 107,321 | ||||
BACM 3 A4 4.668% maturity date 7/10/2043 | 192,182 | ||||
BMO 1.450 0418 1.450% maturity date 4/09/2018 | 208,103 | ||||
BMO 1.300 0717 1.300% maturity date 07/14/2017 | 75,136 | ||||
BK VAR 0617 1.969% maturity date 6/20/2017 | 20,310 | ||||
BK 1.300 0118 1.300% maturity date 1/25/2018 | 508,083 | ||||
BK 0.700 0316 0.700% maturity date 3/04/2016 | 140,182 | ||||
BK 2.200 0319 2.200% maturity date 3/04/2019 | 30,324 | ||||
BK 2.200 0519 2.200% maturity date 5/15/2019 | 80,449 | ||||
BWSTA 1 A3 1.090% maturity date 03/15/2019 | 75,067 | ||||
DROCK 3 A 2.410% maturity date 07/15/2022 | 197,300 | ||||
BRK 2.100 0819 2.100% maturity date 08/14/2019 | 86,215 | ||||
BRK 1.300 0518 1.300% maturity date 5/15/2018 | 104,373 | ||||
BRK 1.550 0218 1.550% maturity date 2/9/2018 | 130,731 | ||||
BFB 2.500 0116 2.500% maturity date 1/15/2016 | 308,667 | ||||
CD CD1 A4 5.226% maturity date 7/15/2044 | 152,818 | ||||
COMM CR12 A1 1.295% maturity date 10/10/2046 | 85,065 | ||||
COMM LC15 A1 1.259% maturity date 04/10/2047 | 163,215 | ||||
COMM UBS3 A1 1.402% maturity date 06/10/2047 | 27,949 | ||||
COMM CR19 A1 1.415% maturity date 08/10/2047 | 66,695 | ||||
COMM CR20 A1 1.324% maturity date 11/10/2047 | 174,688 | ||||
COMM CR20 A2 2.801% maturity date 11/10/2047 | 81,898 | ||||
COMM LC17 A1 1.381% maturity date 10/10/2047 | 110,096 | ||||
COMM UBS6 A1 1.445% maturity date 12/10/2047 | 204,416 | ||||
CNH B A3 0.910% maturity date 05/15/2019 | 74,813 | ||||
COMM CR2 A1 0.824% maturity date 08/15/2045 | 50,837 | ||||
COMM LC13 A1 1.309% maturity date 08/10/2046 | 63,504 | ||||
COMM CR18 A1 1.442% maturity date 07/15/2047 | 42,080 | ||||
CNH C A3 1.050% maturity date 11/15/2019 | 134,364 | ||||
CABMT 2A A1 1.450% maturity date 06/15/2020 | 150,656 | ||||
CM 1.550 0118 1.550% maturity date 01/23/2018 | 80,151 | ||||
COMET A7 A7 5.750% maturity date 07/15/2020 | 139,391 | ||||
COMET A3 A3 0.960% maturity date 9/16/2019 | 229,251 | ||||
COMET A5 A 1.480% maturity date 07/15/2020 | 170,150 | ||||
DUK 5.300 0119 5.300% maturity date 01/15/2019 | 125,938 | ||||
CAT 1.250 1117 1.250% maturity date 11/06/2017 | 159,548 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
CAT 1.000 0317 1.000% maturity date 03/03/2017 | 90,052 | ||||
CNP A A4 5.170% maturity date 8/01/2019 | 347,296 | ||||
CNP 1 A2 3.460% maturity date 08/15/2019 | 105,607 | ||||
CHAIT A1 A1 1.150% maturity date 01/15/2019 | 187,004 | ||||
CHAIT A6 A6 1.260% maturity date 07/15/2019 | 79,780 | ||||
CHAIT A7 A 1.380% maturity date 11/15/2019 | 199,328 | ||||
CVX 1.104 1217 1.104% maturity date 12/05/2017 | 571,904 | ||||
CCART AA A3 0.910% maturity date 4/16/2018 | 35,087 | ||||
CSCO 2.125 0319 2.125% 03/01/2019 | 333,890 | ||||
CCCIT A6 A6 1.320% maturity date 09/07/2018 | 100,972 | ||||
CCCIT A8 A8 5.650% maturity date 9/20/2019 | 348,760 | ||||
CCCIT A2 A2 1.020% maturity date 02/22/2019 | 289,945 | ||||
CCCIT A4 A4 1.230% maturity date 04/24/2019 | 100,072 | ||||
CCCIT A6 A6 2.150% maturity date 07/15/2021 | 217,086 | ||||
CCCIT A8 A8 1.730% maturity date 04/09/2020 | 301,827 | ||||
CGCMT GC15 A1 1.378% maturity date 9/10/2046 | 90,348 | ||||
CGCMT GC17 A1 1.102% maturity date 11/10/2046 | 260,181 | ||||
COP 1.050 1217 1.050% maturity date 12/15/2017 | 222,228 | ||||
COST 1.125 1217 1.125% maturity date 12/15/2017 | 159,041 | ||||
CS 1.375 0517 1.375% maturity date 05/26/2017 | 129,791 | ||||
CS 2.300 0519 2.300% maturity date 05/28/2019 | 90,035 | ||||
DE 1.050 1216 1.050% maturity date 12/15/2016 | 110,350 | ||||
DE 1.950 0319 1.950% maturity date 03/04/2019 | 144,790 | ||||
DE 1.550 1217 1.550% maturity date 12/15/2017 | 175,789 | ||||
DE 1.200 1017 1.200% maturity date 10/10/2017 | 44,865 | ||||
DE 1.950 1218 1.950% maturity date 12/13/2018 | 40,030 | ||||
DEFT 1 A3 0.940% maturity date 06/22/2020 | 24,981 | ||||
DB 1.400 0217 1.400% maturity date 02/13/2017 | 65,213 | ||||
DB 2.500 0219 2.500% maturity date 02/13/2019 | 40,873 | ||||
DB 1.350 0517 1.350% maturity date 05/30/2017 | 64,528 | ||||
DCENT A1 A1 5.650% maturity date 3/16/2020 | 417,164 | ||||
DCENT A6 A6 1.670% maturity date 01/18/2022 | 171,929 | ||||
DCENT A5 A5 1.040% maturity date 04/15/2019 | 74,961 | ||||
DCENT A3 A3 1.220% maturity date 10/15/2019 | 139,837 | ||||
DCENT A4 A4 2.120% maturity date 12/15/2021 | 170,539 | ||||
DCENT A5 A 1.390% maturity date 04/15/2020 | 284,581 | ||||
DUK 5.250 0118 5.250% maturity date 01/15/2018 | 124,485 | ||||
EBAY 2.200 0819 2.200% maturity date 08/01/2019 | 144,881 | ||||
EGSI A A2 5.790% maturity date 10/01/2018 | 112,456 | ||||
FG 4.000 0624 4.000% maturity date 6/01/2024 | 97,370 | ||||
FG 4.500 1224 4.500% maturity date 12/01/2024 | 172,549 | ||||
FG 5.000 1224 5.000% maturity date 12/01/2024 | 309,731 | ||||
FG 4.500 0926 4.500% maturity date 9/01/2026 | 190,847 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
FG 2.500 0527 2.500% maturity date 5/01/2027 | 241,334 | ||||
FG 5.000 0620 5.000% maturity date 6/01/2020 | 67,136 | ||||
FG 4.000 0824 4.000% maturity date 8/01/2024 | 190,415 | ||||
FG 3.000 0427 3.000% maturity date 4/01/2027 | 175,469 | ||||
FG 2.500 0128 2.500% maturity date 01/01/2028 | 546,174 | ||||
FG 3.500 1225 3.500% maturity date 12/01/2025 | 277,469 | ||||
FG 2.500 0128 2.500% maturity date 01/01/2028 | 93,389 | ||||
FG 3.500 0426 3.500% maturity date 4/01/2026 | 348,158 | ||||
FG 4.000 0421 4.000% maturity date 4/01/2021 | 93,211 | ||||
FG 2.500 0228 2.500% maturity date 02/01/2028 | 390,341 | ||||
FG 3.000 0227 3.000% maturity date 2/01/2027 | 355,210 | ||||
FG 4.000 0326 4.000% maturity date 03/01/2026 | 650,562 | ||||
FG 2.500 0727 2.500% maturity date 7/01/2027 | 221,858 | ||||
FG 3.000 1027 3.000% maturity date 10/01/2027 | 149,089 | ||||
FG 3.000 0427 3.000% maturity date 04/01/2027 | 142,138 | ||||
FG 3.000 0827 3.000% maturity date 8/01/2027 | 217,967 | ||||
FG 3.000 0529 3.000% maturity date 05/01/2029 | 330,329 | ||||
FFCB 0.500 0515 0.500% maturity date 5/01/2015 | 455,695 | ||||
FNMA 0.500 0316 0.500% maturity date 3/30/2016 | 1,460,409 | ||||
FNA M8 ASQ2 1.520% maturity date 12/25/2019 | 55,105 | ||||
FNA M8 A1 1.539% maturity date 5/25/2022 | 28,122 | ||||
FNA M8 AB1 1.362% maturity date 5/25/2022 | 87,394 | ||||
FNA M14 AB1 1.233% maturity date 9/25/2022 | 197,720 | ||||
FHR 3852 EA 4.500% maturity date 12/15/2021 | 240,261 | ||||
FNR 130 DE 3.500% maturity date 11/25/2042 | 390,326 | ||||
FNR 50 WB 3.000% maturity date 08/25/2044 | 370,753 | ||||
FHR 4203 CD 2.250% maturity date 05/15/2033 | 125,419 | ||||
FHR 4206 DA 2.000% maturity date 05/15/2033 | 87,699 | ||||
FHR 4229 MA 3.500% maturity date 05/15/2041 | 334,387 | ||||
FHR 4281 MP 3.750% maturity date 12/15/2043 | 202,007 | ||||
FHR 4308 AH 3.000% maturity date 02/15/2029 | 288,560 | ||||
FHR 4367 YA 3.000% maturity date 07/15/2044 | 566,683 | ||||
FHLMC 0.500 0516 0.500% maturity date 5/13/2016 | 650,662 | ||||
FN 3.500 0126 3.500% maturity date 1/01/2026 | 312,808 | ||||
FN 4.000 0226 4.000% maturity date 2/01/2026 | 196,924 | ||||
FN 3.500 0426 3.500% maturity date 4/01/2026 | 662,522 | ||||
FN 3.000 1026 3.000% maturity date 10/01/2026 | 79,243 | ||||
FN 3.500 1026 3.500% maturity date 10/01/2026 | 538,111 | ||||
FN 3.000 0127 3.000% maturity date 1/01/2027 | 304,570 | ||||
FN 3.000 0127 3.000% maturity date 01/01/2027 | 404,672 | ||||
FN 4.000 0826 4.000% maturity date 8/01/2026 | 189,083 | ||||
FN 2.500 0227 2.500% maturity date 2/01/2027 | 386,433 | ||||
FN 2.500 0328 2.500% maturity date 3/01/2028 | 464,714 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
FN 3.000 1127 3.000% maturity date 11/01/2027 | 473,106 | ||||
FN 3.000 0727 3.000% maturity date 7/01/2027 | 295,252 | ||||
FN 2.500 1027 2.500% maturity date 10/01/2027 | 246,479 | ||||
FN 2.500 1227 2.500% maturity date 12/01/2027 | 314,524 | ||||
FN 2.500 1127 2.500% maturity date 11/01/2027 | 230,353 | ||||
FN 3.000 0328 3.000% maturity date 03/01/2028 | 243,727 | ||||
FHR 2590 OA 4.000% maturity date 3/15/2033 | 209,628 | ||||
FNR 38 AC 4.000% maturity date 5/25/2024 | 76,651 | ||||
FN 2.500 0627 2.500% maturity date 6/01/2027 | 266,501 | ||||
FN 2.500 0327 2.500% maturity date 3/01/2027 | 214,096 | ||||
FN 2.500 0927 2.500% maturity date 09/01/2027 | 229,171 | ||||
FN 2.500 0128 2.500% maturity date 01/01/2028 | 287,941 | ||||
FN 2.500 0328 2.500% maturity date 3/01/28 | 644,578 | ||||
FN 2.500 0528 2.500% maturity date 5/01/28 | 259,762 | ||||
FN 4.500 1124 4.500% maturity date 11/01/24 | 402,833 | ||||
FN 4.000 0125 4.000% maturity date 1/01/25 | 228,724 | ||||
FN 4.500 0425 4.500% maturity date 4/01/25 | 147,833 | ||||
FN 5.500 0124 5.500% maturity date 1/01/24 | 170,804 | ||||
FN 4.000 0525 4.000% maturity date 5/01/25 | 130,128 | ||||
FITAT 2 A3 0.890% maturity date 11/15/2018 | 74,854 | ||||
FITAT 3 A3 0.960% maturity date 03/15/2019 | 99,634 | ||||
FORDO A A4 1.290% maturity date 04/15/2019 | 190,133 | ||||
FORDO B A4 1.420% maturity date 08/15/2019 | 34,998 | ||||
FORDO B A4 1.100% maturity date 11/15/2017 | 25,058 | ||||
GEEMT 1 A4 0.780% maturity date 9/22/20 | 50,077 | ||||
GEET 1 A4 0.900% maturity date 03/24/2021 | 65,007 | ||||
GEET 2 A4 0.810% maturity date 9/24/20 | 92,082 | ||||
GEET 2 A3 0.920% maturity date 9/25/17 | 115,272 | ||||
GEEST 1A A3 0.950% maturity date 09/25/2017 | 94,841 | ||||
GEET 1 A3 0.970% maturity date 04/23/2018 | 159,913 | ||||
GSMS GC5 A2 2.999% maturity date 8/10/44 | 231,509 | ||||
GSMS GC20 A1 1.343% maturity date 04/10/2047 | 90,000 | ||||
GSMS GC24 A1 1.509% maturity date 09/10/2047 | 57,721 | ||||
GE 5.625 0518 5.625% maturity date 5/01/18 | 357,401 | ||||
GE 2.300 0417 2.300% maturity date 4/27/17 | 267,368 | ||||
GE 1.600 1117 1.600% maturity date 11/20/17 | 100,797 | ||||
GE 2.300 0119 2.300% maturity date 01/14/2019 | 66,731 | ||||
GE 1.250 0517 1.250% maturity date 05/15/2017 | 85,251 | ||||
GCCT 4A A 1.390% maturity date 07/15/2019 | 199,352 | ||||
HDMOT 1 A3 1.100% maturity date 09/15/2019 | 149,788 | ||||
HD 2.000 0619 2.000% maturity date 06/15/2019 | 55,184 | ||||
HAROT 4 A3 0.990% maturity date 09/17/2018 | 179,639 | ||||
HAROT 1 A3 0.770% maturity date 1/15/16 | 7,049 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
HUNT 2 A4 0.680% maturity date 1/16/18 | 99,739 | ||||
HART A A3 0.790% maturity date 07/16/2018 | 54,950 | ||||
HALST A A4 1.010% maturity date 11/15/2017 | 100,128 | ||||
HART B A3 0.900% maturity date 12/17/2018 | 139,680 | ||||
HALST B A3 0.980% maturity date 10/17/16 | 134,817 | ||||
ITW 0.900 0217 0.900% maturity date 02/25/2017 | 129,819 | ||||
ITW 1.950 0319 1.950% maturity date 03/01/2019 | 191,338 | ||||
IBM 5.700 0917 5.700% maturity date 9/14/17 | 141,422 | ||||
IBM 1.950 0219 1.950% maturity date 02/12/2019 | 141,570 | ||||
JPM 3.150 0716 3.150% maturity date 07/05/2016 | 391,251 | ||||
JPM 1.625 0518 1.625% maturity date 5/15/18 | 659,068 | ||||
JPMCC LDP5 A4 5.236% maturity date 12/15/44 | 248,026 | ||||
JPMBB C12 A1 1.085% maturity date 07/15/2045 | 57,558 | ||||
JPMBB C15 A1 1.233% maturity date 11/15/45 | 77,653 | ||||
JPMBB C21 A1 1.322% maturity date 08/15/2047 | 65,570 | ||||
JPMBB C22 A1 1.451% maturity date 09/15/2047 | 100,121 | ||||
JPMBB C24 A1 1.539% maturity date 11/15/2047 | 88,059 | ||||
JPMBB C25 A1 1.521% maturity date 11/15/2047 | 49,347 | ||||
JDOT A A3 0.920% maturity date 04/16/2018 | 99,995 | ||||
JPM 6.000 0717 6.000% maturity date 7/5/17 | 61,083 | ||||
JPM 2.200 1019 2.200% maturity date 10/22/2019 | 64,714 | ||||
LLY 1.950 0319 1.950% maturity date 03/15/2019 | 85,945 | ||||
LCDA ELL A1 1.660% maturity date 02/01/2022 | 76,183 | ||||
LOW 2.125 0416 2.125% maturity date 4/15/16 | 357,344 | ||||
MBALT A A4 0.900% maturity date 12/16/2019 | 264,982 | ||||
MBART 1 A3 0.870% maturity date 10/15/2018 | 139,684 | ||||
MRK 1.300 0518 1.300% maturity date 5/18/18 | 233,176 | ||||
MLMT LC1 A4 5.291% maturity date 1/12/44 | 45,644 | ||||
BRKHEC 2.400 0319 2.400% maturity date 03/19 | 46,009 | ||||
MSC HQ6 A4A 4.989% maturity date 8/13/42 | 206,992 | ||||
MSC C3 A2 3.224% maturity date 7/15/49 | 76,154 | ||||
MSBAM C8 A1 0.777% maturity date 12/15/48 | 170,237 | ||||
MSBAM C9 A1 0.825% maturity date 5/15/46 | 74,036 | ||||
MSBAM C10 A1 1.394% maturity date 7/15/46 | 135,910 | ||||
MSBAM C17 A1 1.551% maturity date 08/15/2047 | 33,215 | ||||
MSBAM C18 A1 1.686% maturity date 10/15/2047 | 107,619 | ||||
MSBAM C19 A1 1.573% maturity date 12/15/2047 | 200,054 | ||||
NRUC 2.150 0219 2.150% maturity date 02/01/2019 | 333,131 | ||||
NALT A A4 1.040% maturity date 10/15/2019 | 29,967 | ||||
NALT B A3 1.120% maturity date 09/15/2017 | 99,644 | ||||
OXY 2.500 0216 2.500% maturity date 2/01/16 | 195,064 | ||||
OXY 1.500 0218 1.500% maturity date 2/15/18 | 69,650 | ||||
ORCL 1.200 1017 1.200% maturity date 10/15/17 | 219,774 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
ORCL 2.250 1019 2.250% maturity date 10/08/2019 | 172,096 | ||||
PCAR 2.200 0919 2.200% maturity date 09/15/2019 | 236,664 | ||||
PEP 2.500 0516 2.500% maturity date 5/10/16 | 153,780 | ||||
PEP 1.250 0817 1.250% maturity date 8/13/17 | 60,171 | ||||
PEP 0.950 0217 0.950% maturity date 02/22/2017 | 200,005 | ||||
PFE 0.900 0117 0.900% maturity date 1/15/17 | 270,050 | ||||
PILOT 1 A3 1.030% maturity date 11/20/2017 | 184,796 | ||||
ROSW 2.250 0919 2.250% maturity date 09/30/2019 | 136,632 | ||||
RY 1.200 0117 1.200% maturity date 01/23/2017 | 281,270 | ||||
RY 2.150 0319 2.150% maturity date 03/15/2019 | 202,192 | ||||
SANFP 1.250 0418 1.250% maturity date 4/10/18 | 69,529 | ||||
SCGAU 2.375 1119 2.375% maturity date 11/05/2019 | 174,370 | ||||
SCHW 2.200 0718 2.200% maturity date 07/25/2018 | 139,046 | ||||
RDSALN 1.125 0817 1.125% maturity date 8/21/17 | 175,413 | ||||
SPG 2.150 0917 2.150% maturity date 9/15/17 | 133,027 | ||||
SPG 2.200 0219 2.200% maturity date 02/01/2019 | 60,866 | ||||
STT 2.875 0316 2.875% maturity date 3/07/16 | 413,427 | ||||
SYY 5.375 0319 5.375% maturity date 03/17/2019 | 154,361 | ||||
TGT 2.300 0619 2.300% maturity date 06/26/2019 | 318,975 | ||||
TD 1.400 0418 1.400% maturity date 4/30/18 | 149,416 | ||||
TD 2.125 0719 2.125% maturity date 07/02/2019 | 206,204 | ||||
TAOT A A4 1.180% maturity date 06/17/2019 | 129,965 | ||||
TOYOTA 1.375 0118 1.375% maturity date 1/10/18 | 200,243 | ||||
TAOT A A4 0.690% maturity date 11/15/18 | 174,565 | ||||
TOYOTA 2.125 0719 2.125% maturity date 07/18/2019 | 121,510 | ||||
UBSBB C5 A1 0.779% maturity date 3/10/46 | 402,524 | ||||
USAOT 1 A4 0.940% maturity date 05/15/2019 | 159,862 | ||||
UBSBB C3 A1 0.726% maturity date 8/10/49 | 373,082 | ||||
USB 1.650 0517 1.650% maturity date 5/15/17 | 227,154 | ||||
USB 2.200 0419 2.200% maturity date 04/25/2019 | 262,237 | ||||
T 0.250 1215 0.250% maturity date 12/31/2015 | 259,961 | ||||
T 0.750 0317 0.750% maturity date 03/15/2017 | 120,222 | ||||
T 1.625 0419 1.625% maturity date 04/30/2019 | 150,933 | ||||
T 1.750 0919 1.750% maturity date 09/30/2019 | 80,826 | ||||
T 1.500 1019 1.500% maturity date 10/31/2019 | 926,722 | ||||
T 2.250 1124 2.250% maturity date 11/15/2024 | 272,606 | ||||
T 1.500 1119 1.500% maturity date 11/30/2019 | 1,596,960 | ||||
T 1.625 1219 1.625% maturity date 12/31/2019 | 299,582 | ||||
T 1.000 1016 1.000% maturity date 10/31/16 | 4,540,053 | ||||
T 0.875 1116 0.875% maturity date 11/30/16 | 884,527 | ||||
T 1.250 0119 1.250% maturity date 1/31/19 | 567,505 | ||||
T 0.750 0617 0.750% maturity date 6/30/17 | 2,037,374 | ||||
T 0.625 1117 0.625% maturity date 11/30/17 | 1,297,887 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
T 0.250 0516 0.250% maturity date 5/15/16 | 374,331 | ||||
T 1.000 0518 1.000% maturity date 5/31/18 | 490,640 | ||||
VWALT A A4 0.990% maturity date 07/20/2018 | 29,876 | ||||
WFRBS C20 A1 1.283% maturity date 05/15/2047 | 22,543 | ||||
UTX 1.800 0617 1.800% maturity date 6/01/17 | 91,311 | ||||
WFRBS C7 A1 2.300% maturity date 6/15/45 | 83,253 | ||||
WFRBS C16 A1 1.406% maturity date 9/15/46 | 91,887 | ||||
WFRBS C23 A2 3.185% maturity date 10/15/2057 | 312,150 | ||||
WFRBS C24 A1 1.390% maturity date 11/15/2047 | 49,227 | ||||
WFRBS C25 A1 1.518% maturity date 11/15/2047 | 264,048 | ||||
WBCMT C21 A4 5.242% maturity date 10/15/44 | 82,466 | ||||
WFC 2.100 0517 2.100% maturity date 5/08/17 | 193,808 | ||||
WFC 1.500 0118 1.500% maturity date 1/16/18 | 465,652 | ||||
WFC 2.150 0119 2.150% maturity date 1/15/19 | 65,816 | ||||
WFC 2.125 0419 2.125% maturity date 04/22/2019 | 240,915 | ||||
WSTP 1.200 0517 1.200% maturity date 05/19/2017 | 59,818 | ||||
WSTP 2.250 0718 2.250% maturity date 7/30/2018 | 163,850 | ||||
Cash | 872,196 | ||||
JP Morgan Chase Wrap yield 6.253% | |||||
FG 4.500 0420 4.500% maturity date 4/01/20 | 114,742 | ||||
FG 5.000 0523 5.000% maturity date 5/01/23 | 151,141 | ||||
FG 5.500 0720 5.500% maturity date 7/01/20 | 90,380 | ||||
FHR 2901 CA 4.500% maturity date 11/15/19 | 88,647 | ||||
FHR 3002 YD 4.500% maturity date 7/15/25 | 164,025 | ||||
FN 5.000 0323 5.000% maturity date 3/01/23 | 132,482 | ||||
NATIXIS FP Wrap yield 2.670% | |||||
FG 5.500 0922 5.500% maturity date 9/01/22 | 104,629 | ||||
FG 5.000 0223 5.000% maturity date 2/01/23 | 107,853 | ||||
FHR 3211 MH 5.000% maturity date 9/15/26 | 210,545 | ||||
FN 4.000 1124 4.000% maturity date 11/01/24 | 351,924 | ||||
JPMCC CB11 A4 5.335% maturity date 8/12/37 | 209,722 | ||||
Principal Life Ins Co Wrap yield 1.095% | |||||
ABBNVX 1.625 0517 1.625% maturity date 5/08/17 | 125,711 | ||||
T 1.400 1217 1.400% maturity date 12/01/17 | 678,926 | ||||
SO 5.200 0116 5.200% maturity date 1/15/16 | 48,029 | ||||
AMOT 5 A2 1.600% maturity date 10/15/2019 | 249,503 | ||||
ALLYL SN1 A3 0.750% maturity date 02/21/2017 | 64,901 | ||||
ALLYA 1 A3 0.970% maturity date 10/15/2018 | 94,701 | ||||
ALLYL SN2 A3 1.030% maturity date 09/20/2017 | 209,572 | ||||
ALLYA 2 A3 1.250% maturity date 04/15/2019 | 199,806 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
AMXCA 2 A 1.260% maturity date 01/15/2020 | 59,890 | ||||
AMXCA 3 A 1.490% maturity date 04/15/2020 | 75,118 | ||||
AMXCA 4 A 1.430% maturity date 06/15/2020 | 124,836 | ||||
AXP 2.375 0317 2.375% maturity date 3/24/17 | 164,648 | ||||
AXP 2.375 0317 2.375% maturity date 03/24/2017 | 85,410 | ||||
AXP 2.250 0819 2.250% maturity date 08/15/2019 | 95,823 | ||||
HNDA 1.125 1016 1.125% maturity date 10/07/16 | 25,181 | ||||
HNDA 2.125 1018 2.125% maturity date 10/10/18 | 60,652 | ||||
HNDA 2.250 0819 2.250% maturity date 08/15/2019 | 353,576 | ||||
ABIBB 2.150 0219 2.150% maturity date 02/01/2019 | 177,273 | ||||
ABIBB 1.125 0117 1.125% maturity date 01/27/2017 | 176,331 | ||||
BACCT A1 A1 5.170% maturity date 6/15/19 | 487,082 | ||||
BBT 2.450 0120 2.450% maturity date 01/15/2020 | 74,812 | ||||
BPLN 1.375 1117 1.375% maturity date 11/06/17 | 54,516 | ||||
BPLN 2.241 0918 2.241% maturity date 9/26/18 | 70,612 | ||||
BPLN 2.521 0120 2.521% maturity date 01/15/2020 | 145,748 | ||||
BACM 5 A4 5.115% maturity date 10/10/45 | 97,617 | ||||
BACM 6 A4 5.152% maturity date 9/10/47 | 60,660 | ||||
BACM 3 A4 4.668% maturity date 7/10/43 | 136,551 | ||||
BACM 5 AAB 5.379% maturity date 9/10/47 | 17,091 | ||||
BMO 1.450 0418 1.450% maturity date 4/09/18 | 213,058 | ||||
BMO 1.300 0717 1.300% maturity date 07/14/2017 | 80,145 | ||||
BK VAR 0617 1.969% maturity date 6/20/17 | 20,310 | ||||
BK 2.300 0716 2.300% maturity date 7/28/16 | 144,429 | ||||
BK 1.300 0118 1.300% maturity date 1/25/18 | 498,121 | ||||
BK 2.200 0319 2.200% maturity date 03/04/2019 | 30,324 | ||||
BK 2.200 0519 2.200% maturity date 05/15/2019 | 80,449 | ||||
BWSTA 1 A3 1.090% maturity date 03/15/2019 | 75,067 | ||||
DROCK 3 A 2.410% maturity date 07/15/2022 | 202,359 | ||||
DROCK 5 A 1.480% maturity date 09/15/2020 | 84,795 | ||||
BRK 1.300 0518 1.300% maturity date 5/15/18 | 99,403 | ||||
BRK 1.550 0218 1.550% maturity date 2/09/18 | 120,675 | ||||
BRK 2.100 0819 2.100% maturity date 08/14/2019 | 91,286 | ||||
CD CD1 A4 5.226% maturity date 07/15/2044 | 128,940 | ||||
CFCRE C2 A2 3.061% maturity date 12/15/47 | 134,039 | ||||
CITEC VT1 A3 1.500% maturity date 10/21/2019 | 74,818 | ||||
COMM CR12 A1 1.295% maturity date 10/10/46 | 153,118 | ||||
COMM LC15 A1 1.259% maturity date 04/10/2047 | 118,220 | ||||
COMM UB53 A1 1.402% maturity date 06/10/2047 | 65,214 | ||||
COMM CR19 A1 1.415% maturity date 08/10/2047 | 66,695 | ||||
COMM CR20 A1 1.324% maturity date 11/10/2047 | 184,393 | ||||
COMM CR20 A2 2.801% maturity date 11/10/2047 | 87,016 | ||||
COMM LC17 A1 1.381% maturity date 10/10/2047 | 119,669 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
COMM UBS6 A1 1.445% maturity date 12/10/2047 | 134,615 | ||||
CNH B A3 0.910% maturity date 05/15/2019 | 79,801 | ||||
COMM CR2 A1 0.824% maturity date 08/15/2045 | 57,397 | ||||
COMM CR7 A1 0.716% maturity date 03/10/2046 | 58,236 | ||||
COMM LC13 A1 1.309% maturity date 08/10/2046 | 63,504 | ||||
COMM CR18 A1 1.442% maturity date 07/15/2047 | 84,159 | ||||
CNH C A3 1.050% maturity date 11/15/2019 | 134,364 | ||||
CABMT 2A A1 1.450% maturity date 06/15/2020 | 155,678 | ||||
CM 1.550 0118 1.550% maturity date 1/23/18 | 80,151 | ||||
CM 1.350 0716 1.350% maturity date 7/18/16 | 30,373 | ||||
COMET A7 A7 5.750% maturity date 07/15/2020 | 43,490 | ||||
COMET A3 A3 0.960% maturity date 09/16/2019 | 229,251 | ||||
COMET A5 A 1.480% maturity date 07/15/2020 | 175,154 | ||||
DUK 5.300 0119 5.300% maturity date 01/15/2019 | 131,662 | ||||
CAT 1.000 0317 1.000% maturity date 03/03/2017 | 95,055 | ||||
CNP A A4 5.170% maturity date 8/01/19 | 41,676 | ||||
CNP 1 A2 3.460% maturity date 8/15/19 | 253,456 | ||||
CNP 1 A2 2.161% maturity date 10/15/21 | 131,372 | ||||
CHAIT A1 A1 1.150% maturity date 01/15/2019 | 35,001 | ||||
CHAIT A3 A3 5.230% maturity date 4/15/19 | 152,123 | ||||
CHAIT A6 A6 1.260% maturity date 07/15/2019 | 79,780 | ||||
CHAIT A7 A 1.380% maturity date 11/15/2019 | 204,311 | ||||
CVX 1.104 1217 1.104% maturity date 12/05/17 | 591,796 | ||||
CCART AA A3 0.910% maturity date 4/16/18 | 25,062 | ||||
CSCO 3.150 0317 3.150% maturity date 3/14/17 | 395,497 | ||||
CSCO 2.125 0319 2.125% maturity date 03/01/2019 | 106,238 | ||||
CCCIT A1 A1 5.350% maturity date 2/07/20 | 254,984 | ||||
CCCIT A8 A8 5.650% maturity date 04/09/2020 | 230,631 | ||||
CCCIT A2 A2 1.020% maturity date 02/22/2019 | 244,953 | ||||
CCCIT A4 A4 1.230% maturity date 04/24/2019 | 75,054 | ||||
CCCIT A6 A6 2.150% maturity date 07/15/2021 | 222,134 | ||||
CCCIT A8 A8 1.730% maturity date 04/09/2020 | 301,827 | ||||
CGCMT GC8 A1 0.685% maturity date 9/10/45 | 287,966 | ||||
CGCMT GC11 A1 0.754% maturity date 4/10/46 | 68,619 | ||||
CGCMT GC15 A1 1.378% maturity date 9/10/46 | 90,348 | ||||
COP 1.050 1217 1.050% maturity date 12/15/17 | 227,166 | ||||
RABOBK 3.375 0117 3.375% maturity date 1/19/17 | 338,680 | ||||
COST 1.125 1217 1.125% maturity date 12/15/17 | 173,951 | ||||
CS 1.375 0517 1.375% maturity date 05/26/2017 | 137,778 | ||||
CS 2.300 0519 2.300% maturity date 05/28/2019 | 90,035 | ||||
DE 1.050 1216 1.050% maturity date 12/15/2016 | 110,350 | ||||
DE 2.000 0117 2.000% maturity date 1/13/17 | 420,756 | ||||
DE 1.950 0319 1.950% maturity date 03/04/2019 | 149,783 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
DE 1.200 1017 1.200% maturity date 10/10/17 | 199,401 | ||||
DE 1.550 1217 1.550% maturity date 12/15/2017 | 175,789 | ||||
DEFT 1 A3 0.940% maturity date 06/22/2020 | 24,981 | ||||
DB 1.400 0217 1.400% maturity date 02/13/2017 | 70,230 | ||||
DB 2.500 0219 2.500% maturity date 02/13/2019 | 40,873 | ||||
DB 1.350 0517 1.350% maturity date 05/30/2017 | 69,492 | ||||
DCENT A1 A1 5.650% maturity date 3/16/20 | 322,606 | ||||
DCENT A6 A6 1.670% maturity date 01/18/2022 | 176,841 | ||||
DCENT A5 A5 1.040% maturity date 04/15/2019 | 74,961 | ||||
DCENT A3 A3 1.220% maturity date 10/15/2019 | 104,878 | ||||
DCENT A4 A4 2.120% maturity date 12/15/2021 | 175,555 | ||||
DCENT A5 A 1.390% maturity date 04/15/2020 | 294,566 | ||||
DIS 1.125 0217 1.125% maturity date 2/15/17 | 65,298 | ||||
DUK 5.250 0118 5.250% maturity date 01/15/2018 | 130,143 | ||||
EBAY 2.200 0819 2.200% maturity date 08/01/2019 | 144,881 | ||||
FG 2.500 0128 2.500% maturity date 01/01/2028 | 546,174 | ||||
FG 4.000 0926 4.000% maturity date 9/01/26 | 336,105 | ||||
FG 4.500 1124 4.500% maturity date 11/01/24 | 119,455 | ||||
FG 2.500 0128 2.500% maturity date 01/01/2028 | 163,431 | ||||
FG 4.500 0926 4.500% maturity date 9/01/26 | 190,847 | ||||
FG 2.500 0527 2.500% maturity date 5/01/27 | 185,641 | ||||
FG 2.500 0228 2.500% maturity date 02/01/2028 | 390,341 | ||||
FG 2.500 0528 2.500% maturity date 5/01/28 | 218,482 | ||||
FG 4.500 1224 4.500% maturity date 12/01/24 | 154,361 | ||||
FG 3.000 0427 3.000% maturity date 4/01/27 | 140,375 | ||||
FG 3.500 1225 3.500% maturity date 12/01/25 | 242,785 | ||||
FG 3.500 0326 3.500% maturity date 3/01/26 | 147,773 | ||||
FG 4.000 0326 4.000% maturity date 3/01/26 | 263,483 | ||||
FG 3.500 0426 3.500% maturity date 4/01/26 | 286,718 | ||||
FG 3.500 0426 3.500% maturity date 4/01/26 | 254,902 | ||||
FG 2.500 0127 2.500% maturity date 1/01/27 | 657,799 | ||||
FG 3.000 0427 3.000% maturity date 4/01/27 | 493,232 | ||||
FG 3.000 0727 3.000% maturity date 7/01/27 | 508,805 | ||||
FG 4.000 0425 4.000% maturity date 4/01/25 | 108,557 | ||||
FG 3.000 0427 3.000% maturity date 04/01/2027 | 142,138 | ||||
FG 2.500 0727 2.500% maturity date 7/01/27 | 153,594 | ||||
FG 3.000 1027 3.000% maturity date 10/01/27 | 156,735 | ||||
FG 3.000 0827 3.000% maturity date 8/01/27 | 67,067 | ||||
FG 2.500 1127 2.500% maturity date 11/01/27 | 296,067 | ||||
FB 3.000 0529 3.000% maturity date 05/01/2029 | 150,150 | ||||
FNMA 0.875 0817 0.875% maturity date 8/28/17 | 374,811 | ||||
FNA M8 ASQ2 1.520% maturity date 12/25/19 | 45,086 | ||||
FNA M8 A1 1.539% maturity date 5/25/22 | 20,087 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
FNA M8 AB1 1.362% maturity date 5/25/22 | 67,531 | ||||
FNA M14 AB1 1.233% maturity date 9/25/22 | 270,949 | ||||
FNR 30 AB 2.000% maturity date 01/25/2043 | 240,261 | ||||
FNR 130 DE 3.500% maturity date 11/25/2042 | 91,841 | ||||
FNR 50 WB 3.000% maturity date 08/25/2044 | 409,992 | ||||
FHR 4202 DL 3.000% maturity date 05/15/2028 | 316,485 | ||||
FHR 4203 CD 2.250% maturity date 05/15/2033 | 125,419 | ||||
FHR 4206 DA 2.000% maturity date 05/15/2033 | 87,699 | ||||
FHR 4229 MA 3.500% maturity date 05/15/2041 | 477,696 | ||||
FHR 4281 MP 3.750% maturity date 12/15/2043 | 202,007 | ||||
FHR 4308 AH 3.000% maturity date 02/15/2029 | 288,560 | ||||
FHR 4367 YA 3.000% maturity date 07/15/2044 | 278,050 | ||||
FHLMC 0.500 0516 0.500% maturity date 5/13/16 | 500,509 | ||||
FN 3.500 0126 3.500% maturity date 1/01/26 | 302,526 | ||||
FN 4.000 0226 4.000% maturity date 2/01/26 | 196,924 | ||||
FN 3.500 0426 3.500% maturity date 04/01/2026 | 50,963 | ||||
FN 3.500 1126 3.500% maturity date 11/01/26 | 375,900 | ||||
FN 3.500 1126 3.500% maturity date 11/01/2026 | 70,614 | ||||
FN 3.000 0127 3.000% maturity date 1/01/27 | 494,599 | ||||
FN 4.000 0826 4.000% maturity date 8/01/26 | 304,335 | ||||
FN 2.500 0328 2.500% maturity date 3/01/28 | 802,689 | ||||
FN 3.000 1127 3.000% maturity date 11/01/2027 | 423,306 | ||||
FN 3.000 0727 3.000% maturity date 7/01/27 | 196,835 | ||||
FN 3.000 0827 3.000% maturity date 8/01/27 | 476,364 | ||||
FN 2.500 1027 2.500% maturity date 10/01/27 | 262,381 | ||||
FN 2.500 1227 2.500% maturity date 12/01/27 | 289,693 | ||||
FN 2.500 1127 2.500% maturity date 11/01/27 | 238,580 | ||||
FN 3.000 0328 3.000% maturity date 03/01/2028 | 243,727 | ||||
FNR 14 AN 3.500% maturity date 03/25/2033 | 392,473 | ||||
FHR 2590 OA 4.000% maturity date 03/15/2033 | 187,245 | ||||
FN 3.500 1025 3.500% maturity date 10/01/25 | 166,898 | ||||
FN 2.500 0627 2.500% maturity date 6/01/27 | 152,286 | ||||
FN 2.500 0927 2.500% maturity date 09/01/2027 | 229,171 | ||||
FN 2.500 0128 2.500% maturity date 01/01/2028 | 164,538 | ||||
FN 2.500 0328 2.500% maturity date 3/01/28 | 124,757 | ||||
FN 2.500 0528 2.500% maturity date 5/01/28 | 346,349 | ||||
FN 4.500 0824 4.500% maturity date 8/01/24 | 165,216 | ||||
FN 4.500 1224 4.500% maturity date 12/01/24 | 127,556 | ||||
FN 4.500 0425 4.500% maturity date 4/01/25 | 177,259 | ||||
FN 4.500 0625 4.500% maturity date 6/01/25 | 148,486 | ||||
FN 4.000 0725 4.000% maturity date 7/01/25 | 155,473 | ||||
FN 5.500 0124 5.500% maturity date 1/01/24 | 268,406 | ||||
FN 4.000 0925 4.000% maturity date 9/01/25 | 245,389 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
FITAT 2 A3 0.890% maturity date 11/15/2018 | 44,912 | ||||
FITAT 3 A3 0.960% maturity date 03/15/2019 | 169,378 | ||||
FORDO A A4 1.290% maturity date 04/15/2019 | 180,126 | ||||
FORDO B A4 1.420% maturity date 08/15/2019 | 34,998 | ||||
FORDL B A4 1.100% maturity date 11/15/2017 | 25,058 | ||||
GEET 2 A4 0.810% maturity date 9/24/20 | 95,085 | ||||
GEET 2 A3 0.920% maturity date 9/25/17 | 175,414 | ||||
GEEST 1A A3 0.950% maturity date 09/25/2017 | 239,598 | ||||
GEET 1 A3 0.970% maturity date 04/23/2018 | 96,947 | ||||
GSMS GC5 A2 2.999% maturity date 8/10/44 | 128,616 | ||||
GSMS GC6 A2 2.539% maturity date 1/10/45 | 81,772 | ||||
GN 5.000 1223 5.000% maturity date 12/15/23 | 372,432 | ||||
GSMS GC20 A1 1.343% maturity date 04/10/2047 | 94,500 | ||||
GSMS GC24 A1 1.509% maturity date 09/10/2047 | 57,721 | ||||
GE 5.625 0518 5.625% maturity date 5/01/18 | 221,248 | ||||
GE 2.300 0417 2.300% maturity date 4/27/17 | 498,744 | ||||
GE 1.600 1117 1.600% maturity date 11/20/17 | 100,797 | ||||
GE 2.300 0119 2.300% maturity date 01/14/2019 | 71,864 | ||||
GE 1.250 0517 1.250% maturity date 05/15/2017 | 85,251 | ||||
GCCT 4A A 1.390% maturity date 07/15/2019 | 199,352 | ||||
HDMOT 1 A3 1.100% maturity date 01/15/2016 | 154,781 | ||||
HD 2.000 0619 2.000% maturity date 06/15/2019 | 55,184 | ||||
HAROT 1 A3 0.770% maturity date 1/15/16 | 11,748 | ||||
HAROT 4 A3 0.990% maturity date 09/17/2018 | 239,519 | ||||
HON 5.300 0317 5.300% maturity date 3/15/17 | 259,558 | ||||
HALST B A3 0.980% maturity date 10/17/16 | 100,301 | ||||
HART A A3 0.790% maturity date 07/16/2018 | 49,955 | ||||
HALST A A4 1.010% maturity date 09/15/2017 | 95,122 | ||||
HART B A3 0.900% maturity date 12/17/2018 | 59,863 | ||||
HALST B A3 0.980% maturity date 11/15/2017 | 79,892 | ||||
ITW 0.900 0217 0.900% maturity date 02/25/2017 | 134,812 | ||||
ITW 1.950 0319 1.950% maturity date 03/01/2019 | 191,338 | ||||
IBM 5.700 0917 5.700% maturity date 9/14/17 | 33,941 | ||||
IBM 1.950 0219 1.950% maturity date 02/12/2019 | 146,626 | ||||
JPM 3.150 0716 3.150% maturity date 7/05/16 | 495,585 | ||||
JPM 1.625 0518 1.625% maturity date 5/15/18 | 168,484 | ||||
JPMCC LDP5 A4 5.200% maturity date 12/15/44 | 131,033 | ||||
JPMCC C8 A2 1.797% maturity date 10/15/45 | 201,467 | ||||
JPMBB C12 A1 1.085% maturity date 07/15/2045 | 26,446 | ||||
JPMBB C15 A1 1.233% maturity date 11/15/45 | 81,740 | ||||
JPMBB C21 A1 1.322% maturity date 08/15/2047 | 74,937 | ||||
JPMBB C22 A1 1.451% maturity date 09/15/2047 | 104,889 | ||||
JPMBB C24 A1 1.539% maturity date 11/15/2047 | 88,059 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
JPMBB C25 A1 1.521% maturity date 11/15/2047 | 54,281 | ||||
JDOT A A3 0.920% maturity date 04/16/2018 | 199,990 | ||||
JPM 6.000 0717 6.000% maturity date 7/05/17 | 62,214 | ||||
JPM 2.200 1019 2.200% maturity date 10/22/2019 | 64,714 | ||||
LLY 1.950 0319 1.950% maturity date 03/15/2019 | 91,000 | ||||
LCDA ELL A1 1.660% maturity date 02/01/2022 | 81,262 | ||||
LOW 2.125 0416 2.125% maturity date 4/15/16 | 30,630 | ||||
MBART 1 A3 0.870% maturity date 10/15/2018 | 69,842 | ||||
MRK 1.300 0518 1.300% maturity date 5/18/18 | 238,137 | ||||
BRKHEC 2.400 0319 2.400% maturity date 03/15/2019 | 46,009 | ||||
SO 2.350 1016 2.350% maturity date 10/15/16 | 164,208 | ||||
MSC HQ6 A4A 4.989% maturity date 8/13/42 | 117,609 | ||||
MSC C3 A2 3.224% maturity date 7/15/49 | 42,837 | ||||
MSBAM C8 A1 0.777% maturity date 12/15/48 | 234,927 | ||||
MSBAM C10 A1 1.394% maturity date 7/15/46 | 135,910 | ||||
MSBAM C17 A1 1.551% maturity date 08/15/2047 | 33,215 | ||||
MSBAM C18 A1 1.686% maturity date 10/15/2047 | 112,510 | ||||
MSBAM C19 A1 1.573% maturity date 12/15/2047 | 200,054 | ||||
NRUC 2.150 0219 2.150% maturity date 02/01/2019 | 348,273 | ||||
NAROT A A4 1.940% maturity date 9/15/17 | 92,464 | ||||
NALT A A4 1.040% maturity date 10/15/2019 | 34,961 | ||||
NALT B A3 1.120% maturity date 09/15/2017 | 328,827 | ||||
OXY 1.500 0218 1.500% maturity date 2/15/18 | 348,249 | ||||
ORCL 1.200 1017 1.200% maturity date 10/15/17 | 224,769 | ||||
ORCL 2.250 1019 2.250% maturity date 10/08/2019 | 177,158 | ||||
PCAR 2.200 0919 2.200% maturity date 09/15/2019 | 241,699 | ||||
PEP 0.950 0217 0.950% maturity date 02/22/2017 | 205,005 | ||||
PFE 0.900 0117 0.900% maturity date 1/15/17 | 65,012 | ||||
PILOT 1 A3 1.030% maturity date 11/20/2017 | 189,791 | ||||
ROSW 2.250 0919 2.250% maturity date 09/30/2019 | 141,692 | ||||
RY 1.200 0117 1.200% maturity date 01/23/2017 | 286,293 | ||||
RY 2.150 0319 2.150% maturity date 03/15/2019 | 207,247 | ||||
SANFP 1.250 0418 1.250% maturity date 4/10/18 | 74,495 | ||||
SCGAU 2.375 1119 2.375% maturity date 11/05/2019 | 174,370 | ||||
SCHW 2.200 0718 2.200% maturity date 07/25/2018 | 142,113 | ||||
RDSALN 2.000 1118 2.000% maturity date 11/15/18 | 343,186 | ||||
SPG 2.150 0917 2.150% maturity date 9/15/17 | 138,143 | ||||
SPG 2.200 0219 2.200% maturity date 02/01/2019 | 65,938 | ||||
STT 2.875 0316 2.875% maturity date 3/07/16 | 330,742 | ||||
SYY 5.375 0319 5.375% maturity date 03/17/2019 | 160,078 | ||||
ONCOR 1 A3 5.290% maturity date 5/15/18 | 109,404 | ||||
TGT 2.300 0619 2.300% maturity date 06/26/2019 | 324,038 | ||||
TD 1.400 0418 1.400% maturity date 4/30/18 | 154,397 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
TD 2.125 0719 2.125% maturity date 07/02/2019 | 216,263 | ||||
TAOT A A4 1.180% maturity date 06/17/2019 | 124,966 | ||||
TOYOTA 1.375 0118 1.375% maturity date 1/10/18 | 170,207 | ||||
TAOT A A4 0.690% maturity date 11/15/18 | 189,528 | ||||
TOYOTA 2.125 0719 2.125% maturity date 07/18/2019 | 121,510 | ||||
UBSBB C2 A1 1.006% maturity date 5/10/63 | 65,492 | ||||
USAOT 1 A4 0.940% maturity date 05/15/2019 | 164,858 | ||||
USB 1.650 0517 1.650% maturity date 5/15/17 | 232,201 | ||||
USB 2.200 0419 2.200% maturity date 04/25/2019 | 272,323 | ||||
T 0.250 1215 0.250% maturity date 12/31/2015 | 349,948 | ||||
T 1.375 0918 1.375% maturity date 9/30/18 | 1,047,691 | ||||
T 0.750 0317 0.750% maturity date 03/15/2017 | 120,222 | ||||
T 0.875 0817 0.875% maturity date 08/15/2017 | 285,252 | ||||
T 1.000 1016 1.000% maturity date 10/31/16 | 3,642,132 | ||||
T 0.875 1116 0.875% maturity date 11/30/16 | 447,289 | ||||
T 1.500 1019 1.500% maturity date 10/31/2019 | 503,220 | ||||
T 2.250 1124 2.250% maturity date 11/15/2024 | 232,217 | ||||
T 1.500 1119 1.500% maturity date 11/30/2019 | 1,656,659 | ||||
T 1.625 1219 1.625% maturity date 12/31/2019 | 823,850 | ||||
T 0.250 1015 0.250% maturity date 10/15/15 | 260,160 | ||||
T 0.375 0316 0.375% maturity date 3/15/16 | 2,903,471 | ||||
T 0.250 0516 0.250% maturity date 5/15/16 | 404,277 | ||||
T 1.000 0518 1.000% maturity date 5/31/18 | 1,377,756 | ||||
T 0.625 1117 0.625% maturity date 11/30/2017 | 963,044 | ||||
T 0.875 0916 0.875% maturity date 09/15/2016 | 1,209,413 | ||||
T 0.875 0617 0.875% maturity date 06/15/2017 | 334,954 | ||||
UTX 1.800 0617 1.800% maturity date 6/01/17 | 71,020 | ||||
VWALT A A4 0.990% maturity date 07/20/2018 | 19,917 | ||||
WFRBS C20 A1 1.283% maturity date 05/15/2047 | 27,051 | ||||
WFRBS C7 A1 2.300% maturity date 6/15/45 | 83,253 | ||||
WFRBS C16 A1 1.406% maturity date 9/15/46 | 98,169 | ||||
WFRBS C23 A2 3.185% maturity date 10/15/2057 | 312,150 | ||||
WFRBS C24 A1 1.390% maturity date 11/15/2047 | 68,918 | ||||
WFRBS C25 A1 1.518% maturity date 11/15/2047 | 274,012 | ||||
WBCMT C21 A4 5.239% maturity date 10/15/44 | 156,686 | ||||
WBCMT C23 A4 5.418% maturity date 1/15/45 | 411,483 | ||||
WMT 1.125 0418 1.125% maturity date 4/11/18 | 351,816 | ||||
WFC 2.100 0517 2.100% maturity date 5/08/17 | 198,908 | ||||
WFC 1.500 0118 1.500% maturity date 1/16/18 | 480,673 | ||||
WFC 2.150 0119 2.150% maturity date 1/15/19 | 65,816 | ||||
WFC 2.125 0419 2.125% maturity date 04/22/2019 | 250,953 | ||||
WFCM LC5 A1 0.687% maturity date 10/15/45 | 78,178 | ||||
WSTP 1.200 0517 1.200% maturity date 05/19/2017 | 59,818 |
Identity of Issuer, Borrower, Lessor, or Similar Party | Description | Cost** | Current Value | ||
WSTP 2.250 0718 2.250% maturity date 7/30/18 | 133,128 | ||||
WOART A A4 0.850% maturity date 8/15/18 | 80,174 | ||||
XOM 5.650 0416 5.650% maturity date 4/01/16 | 107,639 | ||||
Cash | 786,836 | ||||
Total Synthetic GICs | 158,738,045 | ||||
Other Investments | |||||
Pinnacle West Common Stock* | Pinnacle West Stock Fund | 93,510,720 | |||
Self-Directed Brokerage Account | Self-Directed Brokerage Account | 67,250,615 | |||
*Various participants**** | Participant loans | 25,485,555 | |||
Total other investments | 186,246,890 | ||||
Total Assets Held for Investment Purposes | $ | 1,088,876,937 |
Exhibit No. | Description | ||
23.1 | Consent of Independent Registered Public Accounting Firm |
THE PINNACLE WEST CAPITAL | |||
CORPORATION SAVINGS PLAN | |||
Date: | June 19, 2015 | By | /s/ Barbara M. Gomez |
Barbara M. Gomez | |||
Vice President Human Resources | |||
Arizona Public Service Company |