Table of Contents

 

 

 

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM 11-K

 


 

(Mark One)

 

ý

 

ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 [NO FEE REQUIRED]

 

 

 

 

 

For the fiscal year ended December 31, 2012

 

 

 

 

 

OR

 

 

 

o

 

TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 [NO FEE REQUIRED]

 

 

 

 

 

For the transition period from                      to                     

 

Commission File Number 1-6049

 

A.            Full title of the plan and address of the plan, if different from that of the issuer named below:  Target Corporation 401(k) Plan.

 

B.            Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:

 

TARGET CORPORATION

 

1000 Nicollet Mall

Minneapolis, Minnesota 55403

 

 

 



Table of Contents

 

Target Corporation 401(k) Plan

 

Financial Statements and Supplemental Schedule

 

Years Ended December 31, 2012 and 2011

 

Contents

 

Report of Independent Registered Public Accounting Firm

1

 

 

Financial Statements

 

 

 

Statements of Net Assets Available for Benefits

2

Statements of Changes in Net Assets Available for Benefits

3

Notes to Financial Statements

4

 

 

Supplemental Schedule

 

 

 

Schedule H, Line 4i — Schedule of Assets (Held at End of Year)

20

 



Table of Contents

 

Report of Independent Registered Public Accounting Firm

 

The Board of Directors and Plan Participants

Target Corporation

 

We have audited the accompanying statements of net assets available for benefits of the Target Corporation 401(k) Plan (the Plan) as of December 31, 2012 and 2011, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

 

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. We were not engaged to perform an audit of the Plan’s internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

 

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2012 and 2011, and the changes in its net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.

 

Our audits were conducted for the purpose of forming an opinion on the financial statements taken as a whole. The accompanying supplemental schedule of assets (held at end of year) as of December 31, 2012, is presented for purposes of additional analysis and is not a required part of the financial statements but is supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. Such information has been subjected to the auditing procedures applied in our audits of the financial statements and, in our opinion, is fairly stated in all material respects in relation to the financial statements taken as a whole.

 

June 14, 2013

/s/ Ernst & Young, LLP

 

1



Table of Contents

 

Target Corporation 401(k) Plan

 

Statements of Net Assets Available for Benefits

(in thousands)

 

 

 

December 31

 

 

 

2012

 

2011

 

Assets

 

 

 

 

 

Investments

 

$

6,017,493

 

$

5,247,985

 

Receivables:

 

 

 

 

 

Due from broker for securities sold

 

31,358

 

59,742

 

Notes receivable from participants

 

133,563

 

119,505

 

Employer contributions

 

12,614

 

12,541

 

Participant contributions

 

12,670

 

11,822

 

Interest

 

2,455

 

 

Total receivables

 

192,660

 

203,610

 

Total assets

 

6,210,153

 

5,451,595

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

Payables:

 

 

 

 

 

Due to broker for securities purchased

 

36,952

 

72,945

 

Expenses

 

1,292

 

1,499

 

Total liabilities

 

38,244

 

74,444

 

Net assets reflecting all investments at fair value

 

6,171,909

 

5,377,151

 

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

 

(4,754

)

(49,885

)

Net assets available for benefits

 

$

6,167,155

 

$

5,327,266

 

 

See accompanying notes.

 

2



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Target Corporation 401(k) Plan

 

Statements of Changes in Net Assets Available for Benefits

(in thousands)

 

 

 

Year Ended December 31

 

 

 

2012

 

2011

 

Additions

 

 

 

 

 

Investment income / (loss):

 

 

 

 

 

Interest and dividends

 

$

64,513

 

$

64,689

 

Net realized and unrealized appreciation / (depreciation) in fair value of investments

 

712,078

 

(356,865

)

Total investment income / (loss)

 

776,591

 

(292,176

)

 

 

 

 

 

 

Interest income on notes receivable from participants

 

5,239

 

4,864

 

 

 

 

 

 

 

Contributions:

 

 

 

 

 

Participant contributions

 

324,617

 

295,880

 

Employer contributions

 

213,114

 

196,525

 

Total contributions

 

537,731

 

492,405

 

 

 

 

 

 

 

Total additions

 

1,319,561

 

205,093

 

 

 

 

 

 

 

Deductions

 

 

 

 

 

Benefits paid to participants

 

467,800

 

405,624

 

Administration fees

 

11,872

 

13,408

 

Total deductions

 

479,672

 

419,032

 

 

 

 

 

 

 

Net increase / (decrease)

 

839,889

 

(213,939

)

Net assets available for benefits:

 

 

 

 

 

Beginning of year

 

5,327,266

 

5,541,205

 

End of year

 

$

6,167,155

 

$

5,327,266

 

 

See accompanying notes.

 

3



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Target Corporation 401(k) Plan

 

Notes to Financial Statements

 

December 31, 2012

 

1. Description of the Plan

 

Employees of Target Corporation (the Company and the Plan Administrator) who meet eligibility requirements of age and hours worked can participate in the Target Corporation 401(k) Plan (the Plan).

 

Participants can invest up to 80% of their current gross cash compensation in the Plan, within the limits of the Employee Retirement Income Security Act of 1974, as amended (ERISA). Except for highly compensated participants, participants are allowed to make contributions to the Plan in any combination of before-tax and/or after-tax contributions. Highly compensated participants, as defined by the Internal Revenue Code (the Code), can only make before-tax contributions to the Plan. Participants can contribute up to the annual contribution limits established by the Internal Revenue Service (the IRS) of $17,000 and $16,500, plus a $5,500 catch-up for participants age 50 and older, for 2012 and 2011, respectively.

 

Generally, the Company matches 100 percent of each participant’s contribution, up to 5 percent of total compensation. Company match contributions are deposited to the fund option designated by the participant. Participants are immediately vested in both the participant contributions and the Company’s matching deposits. All investments are participant directed.

 

Participants may receive benefits upon termination, death, disability, or retirement as either a lump-sum amount equal to the vested value of their account or installments, subject to certain restrictions. Participants may also withdraw some or all of their account balances prior to termination, subject to certain restrictions.

 

The Plan allows for two types of loans, one for the purchase of a primary residence and the other a general-purpose loan, both subject to restrictions as defined in the Plan. Participants may have one of each type of loan outstanding at any given time. Principal and interest is paid ratably through monthly payroll deductions. Interest rates on all loans reflect the prime rate as published by the Wall Street Journal on the first business day of the month the loan is issued, plus 1%. If a participant ceases to make loan repayments and the Plan Administrator deems the participant loan to be a distribution, the participant loan balance is reduced and a benefit payment is recorded.

 

Although it has not expressed any intent to do so, the Company has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA.

 

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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

1. Description of the Plan (continued)

 

For more detailed information regarding the Plan, participants may refer to the Summary Plan Description available from the Company.

 

2. Accounting Policies

 

Basis of Presentation

 

The accounting and financial reporting policies of the Plan conform to U.S. generally accepted accounting principles (U.S. GAAP).

 

Payment of Benefits

 

Benefits are recorded when paid.

 

Investment Valuation and Income Recognition

 

Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Net appreciation includes the Plan’s gains and losses on investments bought, sold, and held during the year.

 

See Note 5 for discussion of fair value measurements.

 

Investment contracts held by a defined-contribution plan are required to be reported at fair value. However, contract value is the relevant measurement attribute for that portion of the net assets available for benefits attributable to fully benefit-responsive investment contracts as it reflects the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan. As of December 31, 2012, the Plan holds an indirect interest in such contracts through its investment in collective trust funds.  As of December 31, 2011, the Plan held a direct interest in such contracts through its Stable Value Fund.  See Note 3 for further discussion of the Stable Value Fund.

 

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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

2. Accounting Policies (continued)

 

Notes Receivable

 

Notes receivable from participants are recorded at their unpaid principal balance plus any accrued but unpaid interest. Interest income is recorded when it is earned. Proceeds received from the repayment of loans, including interest, are allocated to participants’ investment accounts in accordance with each participant’s investment election in effect at the time of the repayment. No allowance for credit losses has been recorded as of December 31, 2012 or 2011.

 

Plan Expenses

 

Expenses paid by the Plan include the following: fund management fees (which are netted against investment interest income), trustee fees, monthly processing costs (including record-keeping fees), quarterly participant account statement preparation and distribution costs, and other third-party administrative expenses. All other expenses of the Plan are paid by the Company.

 

Use of Estimates

 

The preparation of our financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions affecting reported amounts in the financial statements, accompanying notes, and supplemental schedule. Actual results may differ significantly from those estimates.

 

Subsequent Events

 

In June 2013, the U.S Growth Stock Index Fund and U.S. Value Stock Index Fund were discontinued.  Upon being discontinued, participant balances in these two funds were transferred to the U.S. Large Company Stock Index Fund.

 

3. Stable Value Fund

 

In June 2012, the Stable Value Fund (the SVF) investment option was discontinued and converted into the Intermediate-term Bond Fund (ITBF).  Upon conversion, all remaining balances in the SVF were automatically invested in the ITBF and the ITBF began accepting transfers and new contributions.  The following disclosures relate to the SVF at December 31, 2011.

 

6



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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

3. Stable Value Fund (continued)

 

The SVF consisted of investments in collective trust funds and guaranteed investments contracts (synthetic GICs). Synthetic GICs were investment contracts in which the Plan owned the underlying assets and purchased wrap contracts from independent third parties that provided market value and cash flow risk protection to the Plan. Investment contracts held by a defined-contribution plan are required to be reported at fair value. However, contract value is the relevant measurement attribute for that portion of the net assets available for benefits attributable to fully benefit-responsive investment contracts as it reflects the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan. The statements of net assets available for benefits presented the fair value of the SVF as well as the adjustment to contract value for the difference between the underlying SVF’s fair value and contract value, or the adjustment to contract value.

 

The synthetic GICs were fully benefit-responsive and were wrapped by two separate insurance companies, which provided guarantees with respect to the return of funds to make distributions from this investment option. The wrapper issuers were contractually obligated to repay the principal and a specified interest rate that was guaranteed to the Plan. There were no reserves against contract values for credit risk of the contract issuers or otherwise.

 

Contributions to the SVF were invested in a portfolio of collective trust funds, as well as investments in the portfolio underlying the synthetic GICs. This portfolio included short-term investment funds, high-quality short-term and intermediate-term U.S. bonds, including U.S. government treasuries, corporate debt securities, other high-credit-quality asset-backed securities, futures, and interest rate swaps. These investments were measured at fair value, as described in Note 5. Amounts due from broker for securities sold and due to broker for securities purchased, presented on the Plan’s statements of net assets available for benefits, primarily related to transactions involving the synthetic GICs’ underlying portfolio. These amounts were factored into the fair value of the underlying portfolio for purposes of calculating crediting rates and calculating the adjustment from fair value to contract value. The fair value of the wrap contracts was the replacement cost of those contracts. The synthetic GICs’ contract value represented the sum of participants’ contributions, plus earnings, less participants’ withdrawals and administrative expenses. Participant accounts in the SVF were credited with interest at a fixed rate that was evaluated quarterly. The primary variables affecting the future crediting rates included (1) the current yield of the assets underlying the contract, (2) the duration of the assets underlying the contracts, and (3) the existing difference between the fair value and the contract

 

7



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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

3. Stable Value Fund (continued)

 

value of the assets within the insurance contract. The crediting rate of security-backed contracts tracked current market yields on a trailing basis. The rate reset allowed the contract value to converge with the fair value of the underlying portfolio over time, assuming the portfolio continued to earn the current yield for a period of time equal to the current portfolio duration.

 

To the extent that the underlying portfolio had unrealized and/or realized losses, a positive adjustment was made when reconciling from fair value to contract value under contract value accounting. As a result, the future crediting rate may have been lower over time than the current market rates. Similarly, if the underlying portfolio generated unrealized and/or realized gains, a negative adjustment was made when reconciling from fair value to contract value, and in the future, the crediting rate may have been higher than the current market rates. The insurance contracts could not credit an interest rate that was less than 1%.

 

The average yields earned by the SVF at December 31, 2011, were 4.01% based on actual earnings and 2.74% based on the interest rate credited to participants.

 

4. Derivatives

 

Derivative financial instruments are used by the ITBF and were used by the SVF principally to reduce exposures to interest-rate and market risks. The ITBF invests in over-the-counter interest rate swaps to mitigate interest rate fluctuation risk. Over-the-counter futures are used to hedge exposure to interest-rate movements and to manage plan asset allocation.

 

8



Table of Contents

 

Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

4. Derivatives (continued)

 

The fair value of the derivatives is an input to the calculation of fair value of the ITBF on the statements of net assets available for benefits. The outstanding derivative contracts as of period end within the ITBF are disclosed in Schedule H, Line 4i — Schedule of Assets (Held at End of Year), and the average net notional amount serves as an indicator of the volume of derivative activity for the ITBF.

 

 

 

December 31, 2012

 

December 31, 2011

 

 

 

Net Notional
Amount

 

Gross
Derivative
Assets

 

Gross
Derivative
Liabilities

 

Net Notional
Amount

 

Gross
Derivative
Assets

 

Gross
Derivative
Liabilities

 

 

 

(in thousands)

 

Interest rate contracts — Futures(a)

 

$

1,250

 

$

 

$

 

$

18,350

 

$

 

$

 

Interest rate contracts — Swaps

 

18,800

 

48

 

 

7,300

 

 

118

 

Total

 

$

20,050

 

$

48

 

$

 

$

25,650

 

$

 

$

118

 

 

(a) Because these investments settle daily, fair value is zero.

 

 

 

Year ended December 31, 2012

 

Year ended December 31, 2011

 

 

 

Net Realized and
Unrealized
Appreciation
(Depreciation) in
the Fair Value of
Investments

 

Average Net
Notional
Amount

 

Net Realized and
Unrealized
Appreciation
(Depreciation) in
the Fair Value of
Investments

 

Average Net
Notional
Amount

 

 

 

(in thousands)

 

 

 

 

 

 

 

 

 

 

 

Interest rate contracts — Futures

 

$

2,217

 

$

9,800

 

$

4,188

 

$

49,283

 

Interest rate contracts — Swaps

 

(71

)

13,050

 

(1,643

)

37,578

 

Credit contracts — Swaps

 

 

 

(40

)

750

 

Total

 

$

2,146

 

$

22,850

 

$

2,505

 

$

87,611

 

 

9



Table of Contents

 

Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

5. Fair Value Measurements

 

Fair value measurements are categorized into one of three levels based on the lowest level of significant input used: Level 1 (unadjusted quoted prices in active markets); Level 2 (observable inputs available at the measurement date, other than quoted prices included in Level 1); and Level 3 (unobservable inputs that cannot be corroborated by observable market data).

 

The following tables represent financial assets measured at fair value:

 

 

 

Fair Value at December 31, 2012

 

 

 

Level 1

 

Level 2

 

Level 3

 

 

 

(in thousands)

 

Fair value measurements

 

 

 

 

 

 

 

Cash equivalents

 

$

 

$

16,686

 

$

 

Target Corporation Common Stock Fund(a)

 

2,002,641

 

 

 

Commingled funds:

 

 

 

 

 

 

 

Lifecycle funds(b)

 

 

1,153,617

 

 

U.S. government and agency obligations(c)

 

 

430,884

 

 

U.S. equities(c)

 

 

1,104,583

 

 

International equities(c)

 

 

546,247

 

 

Intermediate-term Bond Fund(d):

 

 

 

 

 

 

 

Collective trust funds

 

 

137,187

 

 

Separately managed accounts

 

 

625,648

 

 

Total

 

$

2,002,641

 

$

4,014,852

 

$

 

 

 

 

Fair Value at December 31, 2011

 

 

 

Level 1

 

Level 2

 

Level 3

 

 

 

(in thousands)

 

Fair value measurements

 

 

 

 

 

 

 

Cash equivalents

 

$

 

$

18,343

 

$

 

Target Corporation Common Stock Fund(a)

 

1,842,401

 

 

 

Commingled funds:

 

 

 

 

 

 

 

Lifecycle funds(b)

 

 

887,442

 

 

U.S. government and agency obligations(c)

 

 

271,794

 

 

U.S. equities(c)

 

 

881,660

 

 

International equities(c)

 

 

420,912

 

 

Stable Value Fund(e):

 

 

 

 

 

 

 

Collective trust funds

 

 

234,197

 

 

Synthetic guaranteed investment contracts

 

 

691,236

 

 

Total

 

$

1,842,401

 

$

3,405,584

 

$

 

 

10



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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

5. Fair Value Measurements (continued)

 

(a)         This is a self-managed fund that invests in the Company’s common stock. The fund’s objective is to closely track the performance of the Company’s common stock. The Plan can redeem this investment daily.

 

(b)         These commingled funds share the common goal of first growing and then later preserving principal and contain a mix of U.S. common stocks, international common stocks, U.S. issued bonds, and cash. The Plan can redeem these investments daily. There are currently no redemption restrictions on these investments.

 

(c)          These categories include investments in passively managed index commingled funds with holdings in U.S. government and agency obligations and domestic and international equity securities. The Plan can redeem these investments daily.

 

(d)         The Intermediate-term Bond Fund is a self-managed fund designed to earn returns modestly in excess of money market funds. This fund invests in a portfolio of collective trust funds and separately managed accounts that include short-term investment funds, high-quality short-term and intermediate-term U.S. bonds, including U.S. government treasuries, corporate debt securities, other high-credit-quality asset-backed securities, futures, and interest rate swaps.

 

(e)          The Stable Value Fund is a self-managed fund designed to deliver safety and stability by preserving principal and accumulating earnings. This fund invests in a portfolio of collective trust funds and synthetic GICs. These investments are described in Note 3.

 

11



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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

5. Fair Value Measurements (continued)

 

The following sets forth the types of assets measured at fair value and a description of the valuation technique for each asset type:

 

Position Description

 

Valuation Technique

 

 

 

Cash equivalents/ Commingled funds/ Target Corporation Common Stock Fund

 

Valued using the Net Asset Value (NAV) provided by the administrator of the fund. The NAV is based on the value of the underlying assets owned by the fund minus applicable costs and liabilities and then divided by the number of shares outstanding. The fair value of the Company’s common stock is based upon the unadjusted quoted price in an active market.

Collective trust funds

 

Collective trust funds are valued using the NAV provided by the administrator of the fund. The NAV is based on the value of the underlying assets owned by the fund minus applicable costs and liabilities and then divided by the number of shares outstanding.

Separately managed accounts

 

Fixed income securities are primarily valued using prices obtained from independent pricing services. These prices are based on matrix pricing models and quoted prices of securities with similar characteristics. Futures derivatives are initially valued at transaction price, with subsequent valuations based on observable inputs to the valuation model (e.g., underlying investments). Underlying interest rate and credit default swap derivatives are valued using models calibrated to initial trade price. Subsequent valuations are based on observable inputs to the valuation model (e.g., interest rates and credit spreads). Model inputs are only changed when corroborated by market data. A credit risk adjustment is made on each swap using observable market credit spreads.

 

12



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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

5. Fair Value Measurements (continued)

 

Position Description

 

Valuation Technique

 

 

 

Synthetic guaranteed investment contracts

 

Fair value of synthetic GICs is based on the cumulative value of the underlying investments and the fair value of the wrap contracts provided by the insurance companies. Underlying investments in fixed income securities are primarily valued using prices obtained from independent pricing services. These prices are based on matrix pricing models and quoted prices of securities with similar characteristics. Futures derivatives are initially valued at transaction price, with subsequent valuations based on observable inputs to the valuation model (e.g., underlying investments). Underlying interest rate and credit default swap derivatives are valued using models calibrated to initial trade price. Subsequent valuations are based on observable inputs to the valuation model (e.g., interest rates and credit spreads). Model inputs are only changed when corroborated by market data. A credit risk adjustment is made on each swap using observable market credit spreads. The fair value of the wrap contracts is based on the wrap contract fees provided by the insurance companies, which are observable inputs.

 

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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

6. Investments

 

At December 31, 2012, participants may allocate their investments among 21 investment funds and, with certain restrictions, change their investment elections daily for both existing balances and future contributions.

 

The Plan’s investments are held by State Street Bank, the trustee. The Plan’s investments, including investments bought and sold, as well as investments held during the year, appreciated in fair value as follows:

 

 

 

Net
Appreciation/
(Depreciation)
in Fair Value
During Year

 

 

 

(in thousands)

 

Year ended December 31, 2012:

 

 

 

Commingled funds

 

$

375,101

 

Target Corporation Common Stock Fund

 

285,709

 

Intermediate-term Bond Fund

 

51,268

 

 

 

$

712,078

 

 

 

 

 

Year ended December 31, 2011:

 

 

 

Commingled funds

 

$

(29,763

)

Target Corporation Common Stock Fund

 

(327,102

)

 

 

$

(356,865

)

 

14



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Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

6. Investments (continued)

 

The fair values of individual investments representing 5% or more of the Plan’s net assets are as follows:

 

 

 

At December 31

 

 

 

2012

 

2011

 

 

 

(in thousands)

 

 

 

 

 

 

 

Target Corporation Common Stock Fund*

 

$

2,002,641

 

$

1,842,401

 

State Street Bank & Trust Co. S&P 500 Index Non-Lending Series Fund*

 

489,728

 

394,489

 

State Street Bank & Trust Co. International Index Non-Lending Series Fund*

 

397,950

 

303,442

 

State Street Bank & Trust Co. Treasury Inflation Index Fund *

 

315,295

 

271,794

 

 


*                 Indicates issuer is a party-in-interest to the Plan.

 

7. Transactions with Parties-in-Interest

 

During 2012 and 2011, the Plan engaged in the following exempt party-in-interest transactions related to the Company’s common stock:

 

 

 

2012

 

2011

 

 

 

(in thousands)

 

 

 

 

 

 

 

Number of common shares purchased

 

6,705

 

6,582

 

Cost of common shares purchased

 

$

392,059

 

$

337,267

 

 

 

 

 

 

 

Number of common shares sold

 

8,598

 

7,382

 

Market value of common shares sold

 

$

504,752

 

$

380,402

 

Cost of common shares sold

 

$

357,324

 

$

291,628

 

 

 

 

 

 

 

Number of common shares distributed to plan participants

 

236

 

266

 

Market value of common shares distributed to plan participants

 

$

14,080

 

$

13,703

 

Cost of common shares distributed to plan participants

 

$

9,879

 

$

10,402

 

 

 

 

 

 

 

Dividends received (net of pass-through dividends)

 

$

43,413

 

$

40,771

 

 

15



Table of Contents

 

Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

7. Transactions with Parties-in-Interest (continued)

 

Certain plan investments are shares of short-term and commingled investment funds managed by State Street Bank, the trustee of the Plan. These transactions qualify as party-in-interest transactions; however, they are exempt from the prohibited transactions rules under ERISA. Investment management fees paid by the Plan are included as a reduction of the return earned on each fund.

 

8. Income Tax Status

 

The Plan has received a determination letter from the IRS dated September 12, 2001, stating that the Plan is qualified under Section 401(a) of the Code, and therefore, the related trust is exempt from taxation. Subsequent to the issuance of this determination letter, the Plan was amended and restated. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualification. The Plan Administrator believes that the Plan is being operated in compliance with the applicable requirements of the Code and, therefore, believes the Plan, as amended and restated, is qualified and the related trust is tax-exempt.

 

The Plan Administrator has analyzed the tax positions taken by the Plan and has concluded that as of December 31, 2012, there are no uncertain positions taken or expected to be taken. The Plan has recognized no interest or penalties related to uncertain tax positions. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress. The Plan Administrator believes the Plan is no longer subject to income tax examinations for years prior to 2009.

 

9. Risks and Uncertainties

 

The Plan invests in securities that are exposed to various risks, such as interest rate, market, and credit risks. Due to the level of risk associated with certain investment securities, it is at least reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect the amounts reported in the financial statements.

 

16



Table of Contents

 

Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

10. Reconciliation of Financial Statements to the Form 5500

 

The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500:

 

 

 

Year Ended December 31

 

 

 

2012

 

2011

 

 

 

(in thousands)

 

Net assets available for benefits per the financial statements

 

$

6,167,155

 

$

5,327,266

 

Amounts allocated to withdrawing participants

 

(2,026

)

(1,958

)

Adjustment from contract value to fair value for fully benefit-responsive investment contracts

 

4,754

 

49,885

 

Participant contribution receivable accrual

 

(12,670

)

(9,894

)

Employer contribution receivable accrual

 

(8,302

)

(6,588

)

Net assets available for benefits per the Form 5500

 

$

6,148,911

 

$

5,358,711

 

 

The following is a reconciliation of benefits paid to participants per the financial statements to the Form 5500:

 

 

 

Year Ended
December 31,

 

 

 

2012

 

 

 

(in thousands)

 

 

 

 

 

Benefits paid to participants per the financial statements

 

$

467,800

 

Amounts allocated to withdrawing participants at December 31, 2011

 

(1,958

)

Amounts allocated to withdrawing participants at December 31, 2012

 

2,026

 

Benefits paid to participants per the Form 5500

 

$

467,868

 

 

17



Table of Contents

 

Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

10. Reconciliation of Financial Statements to the Form 5500 (continued)

 

The following is a reconciliation of participant contributions available for benefits per the financial statements to the Form 5500:

 

 

 

Year Ended December 31

 

 

 

2012

 

2011

 

 

 

(in thousands)

 

Participant contributions available for benefits per the financial statements

 

$

12,670

 

$

11,822

 

Participant contribution receivable accrual

 

(12,670

)

(9,894

)

Participant contributions available for benefits per the Form 5500

 

$

 

$

1,928

 

 

The following is a reconciliation of employer contributions available for benefits per the financial statements to the Form 5500:

 

 

 

Year Ended December 31

 

 

 

2012

 

2011

 

 

 

(in thousands)

 

Employer contributions available for benefits per the financial statements

 

$

12,614

 

$

12,541

 

Employer contribution receivable accrual

 

(8,302

)

(6,588

)

Employer contributions available for benefits per the Form 5500

 

$

4,312

 

$

5,953

 

 

The following is a reconciliation of additions to net assets attributed to participant contributions per the financial statements to the Form 5500:

 

 

 

Year Ended
December 31,

 

 

 

2012

 

 

 

(in thousands)

 

Additions to net assets attributed to participant contributions per the financial statements

 

$

324,617

 

Change in participant contribution receivable accrual

 

(2,776

)

Additions to net assets attributed to participant contributions per the Form 5500

 

$

321,841

 

 

18



Table of Contents

 

Target Corporation 401(k) Plan

 

Notes to Financial Statements (continued)

 

10. Reconciliation of Financial Statements to the Form 5500 (continued)

 

The following is a reconciliation of additions to net assets attributed to employer contributions per the financial statements to the Form 5500:

 

 

 

Year Ended
December 31,

 

 

 

2012

 

 

 

(in thousands)

 

Additions to net assets attributed to employer contributions per the financial statements

 

$

213,114

 

Change in employer contribution receivable accrual

 

(1,714

)

Additions to net assets attributed to employer contributions per the Form 5500

 

$

211,400

 

 

The following is a reconciliation of total additions to net assets per the financial statements to total income per the Form 5500:

 

 

 

Year Ended
December 31,

 

 

 

2012

 

 

 

(in thousands)

 

 

 

 

 

Total additions to net assets per the financial statements

 

$

1,319,561

 

Adjustment from contract value to fair value for fully benefit-responsive investment contracts at December 31, 2011

 

(49,885

)

Adjustment from contract value to fair value for fully benefit-responsive investment contracts at December 31, 2012

 

4,754

 

Change in participant contribution receivable accrual

 

(2,776

)

Change in employer contribution receivable accrual

 

(1,714

)

Total income per the Form 5500

 

$

1,269,940

 

 

19



Table of Contents

 

Supplemental Schedule

 



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i — Schedule of Assets (Held at End of Year)

 

December 31, 2012

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

Cash equivalents

 

 

 

 

 

 

 

 

 

 

 

 

 

16,685,580

 

*State Street Bank & Trust Co. Short-term Investment Fund

 

$

16,685,580

 

$

16,685,580

 

 

 

 

 

 

 

 

 

Common stock funds

 

 

 

 

 

41,987,945

 

*Target Corporation Common Stock Fund

 

1,476,652,365

 

2,002,640,952

 

 

 

 

 

 

 

 

 

Commingled investment funds

 

 

 

 

 

 

 

State Street Bank & Trust Co.

 

 

 

 

 

3,068,704

 

US Real Estate Index Fund

 

94,816,645

 

105,581,846

 

 

 

 

 

 

 

 

 

 

 

BlackRock

 

 

 

 

 

7,848,914

 

S&P 500 Value

 

107,259,820

 

131,233,847

 

 

 

 

 

 

 

 

 

 

 

BlackRock

 

 

 

 

 

10,417,269

 

S&P 500 Growth

 

109,358,445

 

135,841,191

 

 

 

 

 

 

 

 

 

 

 

*State Street Bank & Trust Co.

 

 

 

 

 

5,391,248

 

Emerging Markets Index Non-Lending Series Fund

 

129,129,649

 

148,297,050

 

 

 

 

 

 

 

 

 

 

 

*State Street Bank & Trust Co.

 

 

 

 

 

12,540,560

 

U.S. Inflation Protected Bond Index Non-Lending Series Fund

 

267,210,252

 

315,294,756

 

 

 

 

 

 

 

 

 

 

 

*State Street Bank & Trust Co.

 

 

 

 

 

19,514,954

 

S&P 500 Index Non-Lending Series Fund

 

383,210,931

 

489,727,764

 

 

 

 

 

 

 

 

 

 

 

*State Street Bank & Trust Co.

 

 

 

 

 

27,887,156

 

International Index Non-Lending Series Fund

 

343,522,678

 

397,949,709

 

 

 

 

 

 

 

 

 

 

 

*State Street Bank & Trust Co.

 

 

 

 

 

9,218,863

 

Russell 2000 Index Fund

 

212,128,665

 

242,197,971

 

 

 

 

 

 

 

 

 

 

 

*State Street Bank & Trust Co.

 

 

 

 

 

115,589,454

 

Cash Series Prime Fund

 

115,589,454

 

115,589,454

 

 

 

 

 

 

 

 

 

8,584,064

 

Blackrock, Inc. LIFEPATH INDEX RETIREMENT FUND

 

114,628,552

 

128,846,794

 

6,131,973

 

Blackrock, Inc. LIFEPATH INDEX 2015 FUND F

 

84,868,087

 

96,762,539

 

7,364,795

 

Blackrock, Inc. LIFEPATH INDEX 2020 FUND F

 

103,527,999

 

120,488,052

 

7,128,801

 

Blackrock, Inc. LIFEPATH INDEX 2025 FUND F

 

102,212,998

 

120,619,307

 

7,088,376

 

Blackrock, Inc. LIFEPATH INDEX 2030 FUND F

 

103,489,366

 

123,054,206

 

7,028,815

 

Blackrock, Inc. LIFEPATH INDEX 2035 FUND F

 

104,609,117

 

125,042,626

 

7,443,082

 

Blackrock, Inc. LIFEPATH INDEX 2040 FUND F

 

113,445,443

 

135,315,239

 

7,096,296

 

Blackrock, Inc. LIFEPATH INDEX 2045 FUND F

 

110,921,112

 

131,849,186

 

8,468,309

 

Blackrock, Inc. LIFEPATH INDEX 2050 FUND F

 

137,413,700

 

160,474,463

 

823,388

 

Blackrock, Inc. LIFEPATH INDEX 2055 FUND F

 

10,543,481

 

11,165,147

 

 

 

Total commingled investment funds

 

2,747,886,391

 

3,235,331,147

 

 

20



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i — Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Intermediate-Term Bond Fund

 

 

 

 

 

 

 

 

 

Separately managed accounts

 

 

 

 

 

 

 

 

 

Fixed income securities

 

 

 

 

 

 

 

 

 

330,000.00

 

ABB FINANCE USA INC COMPANY GUAR 05/22 2.875

 

5/8/2022

 

2.875

 

$

322,849

 

$

337,868

 

430,000.00

 

ABB TREASURY CENTER USA SR UNSECURED 144A 06/16 2.5

 

6/15/2016

 

2.5

 

427,282

 

447,105

 

200,000.00

 

ABBEY NATL TREASURY SERV BANK GUARANT 04/14 2.875

 

4/25/2014

 

2.875

 

199,540

 

204,179

 

500,000.00

 

ABBEY NATL TREASURY SERV BANK GUARANT 04/16 4.

 

4/27/2016

 

4

 

499,800

 

528,689

 

470,000.00

 

ABBVIE INC COMPANY GUAR 144A 11/15 1.2

 

11/6/2015

 

1.2

 

469,685

 

473,140

 

490,000.00

 

ABBVIE INC COMPANY GUAR 144A 11/17 1.75

 

11/6/2017

 

1.75

 

488,976

 

495,330

 

825,000.00

 

ABBVIE INC COMPANY GUAR 144A 11/17 1.75

 

11/6/2017

 

1.75

 

834,564

 

833,974

 

595,000.00

 

ABBVIE INC COMPANY GUAR 144A 11/17 1.75

 

11/6/2017

 

1.75

 

593,756

 

601,472

 

210,000.00

 

ABBVIE INC SR UNSECURED 144A 11/22 2.9

 

11/6/2022

 

2.9

 

208,648

 

213,860

 

639,698.47

 

ACCESS GROUP INC ACCSS 2006 1 A2

 

8/25/2023

 

0.4215

 

630,103

 

629,515

 

392,000.00

 

ACCESS TO LOANS FOR LEARNING S ACCSTD 04/24 FLOATING VAR

 

4/25/2024

 

1

 

384,160

 

380,036

 

250,000.00

 

ACTAVIS INC SR UNSECURED 10/22 3.25

 

10/1/2022

 

3.25

 

247,913

 

255,212

 

350,000.00

 

ADT CORP SR UNSECURED 144A 07/17 2.25

 

7/15/2017

 

2.25

 

349,636

 

347,220

 

170,000.00

 

ADVANCE AUTO PARTS INC COMPANY GUAR 05/20 5.75

 

5/1/2020

 

5.75

 

196,942

 

183,172

 

440,000.00

 

AETNA INC SR UNSECURED 11/22 2.75

 

11/15/2022

 

2.75

 

433,352

 

436,377

 

600,000.00

 

AGILENT TECHNOLOGIES INC SR UNSECURED 11/17 6.5

 

11/1/2017

 

6.5

 

708,348

 

725,305

 

300,000.00

 

AID ISRAEL US GOVT GUAR 04/24 5.5

 

4/26/2024

 

5.5

 

404,670

 

397,042

 

1,400,000.00

 

AID ISRAEL US GOVT GUAR 09/23 5.5

 

9/18/2023

 

5.5

 

1,814,916

 

1,845,477

 

100,000.00

 

AID ISRAEL US GOVT GUAR 12/23 5.5

 

12/4/2023

 

5.5

 

130,150

 

132,264

 

240,000.00

 

ALLY BANK CERT OF DEPO 11/14 1.4

 

11/17/2014

 

1.4

 

240,000

 

242,252

 

200,000.00

 

ALTRIA GROUP INC COMPANY GUAR 05/21 4.75

 

5/5/2021

 

4.75

 

211,542

 

226,655

 

105,000.00

 

ALTRIA GROUP INC COMPANY GUAR 08/19 9.25

 

8/6/2019

 

9.25

 

141,729

 

146,070

 

240,000.00

 

ALTRIA GROUP INC COMPANY GUAR 08/22 2.85

 

8/9/2022

 

2.85

 

239,731

 

237,487

 

425,000.00

 

ALTRIA GROUP INC COMPANY GUAR 08/22 2.85

 

8/9/2022

 

2.85

 

424,524

 

420,550

 

65,000.00

 

ALTRIA GROUP INC COMPANY GUAR 11/18 9.7

 

11/10/2018

 

9.7

 

87,954

 

90,995

 

60,000.00

 

ALTRIA GROUP INC COMPANY GUAR 11/18 9.7

 

11/10/2018

 

9.7

 

80,083

 

83,996

 

290,000.00

 

AMAZON.COM INC SR UNSECURED 11/15 0.65

 

11/27/2015

 

0.65

 

289,211

 

289,825

 

175,000.00

 

AMAZON.COM INC SR UNSECURED 11/17 1.2

 

11/29/2017

 

1.2

 

174,148

 

174,038

 

640,000.00

 

AMER EXPRESS CREDIT CO SR UNSECURED 08/13 7.3

 

8/20/2013

 

7.3

 

695,814

 

667,493

 

235,000.00

 

AMERICA MOVIL SAB DE CV COMPANY GUAR 03/20 5.

 

3/30/2020

 

5

 

266,850

 

273,416

 

1,200,000.00

 

AMERICAN EXPR CENTURION COMPANY GUAR 11/15 0.875

 

11/13/2015

 

0.875

 

1,199,544

 

1,199,118

 

350,000.00

 

AMERICAN EXPRESS CREDIT SR UNSECURED 03/17 2.375

 

3/24/2017

 

2.375

 

349,052

 

366,211

 

365,000.00

 

AMERICAN EXPRESS CREDIT SR UNSECURED 06/15 1.75

 

6/12/2015

 

1.75

 

364,927

 

372,645

 

900,000.00

 

AMERICAN HONDA FINANCE SR UNSECURED 144A 09/15 2.5

 

9/21/2015

 

2.5

 

930,447

 

938,529

 

185,000.00

 

AMERICAN INTL GROUP SR UNSECURED 03/15 3.

 

3/20/2015

 

3

 

184,711

 

192,495

 

375,000.00

 

AMERICAN INTL GROUP SR UNSECURED 03/17 3.8

 

3/22/2017

 

3.8

 

374,239

 

405,875

 

265,000.00

 

AMERICAN INTL GROUP SR UNSECURED 03/17 3.8

 

3/22/2017

 

3.8

 

264,462

 

286,819

 

175,000.00

 

AMERICAN INTL GROUP SR UNSECURED 05/17 5.45

 

5/18/2017

 

5.45

 

180,140

 

200,990

 

100,000.00

 

AMERICAN INTL GROUP SR UNSECURED 05/17 5.45

 

5/18/2017

 

5.45

 

106,694

 

114,852

 

200,000.00

 

AMERICAN INTL GROUP SR UNSECURED 08/18 8.25

 

8/15/2018

 

8.25

 

242,760

 

262,777

 

325,000.00

 

AMERICAN INTL GROUP SR UNSECURED 10/16 5.6

 

10/18/2016

 

5.6

 

340,881

 

371,138

 

200,000.00

 

AMERICAN INTL GROUP SR UNSECURED 12/20 6.4

 

12/15/2020

 

6.4

 

225,189

 

248,160

 

225,000.00

 

AMERICAN INTL GROUP SUB NOTES 08/15 2.375

 

8/24/2015

 

2.375

 

224,793

 

231,550

 

88,877.74

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2011 2 A2

 

9/8/2014

 

0.9

 

88,872

 

88,889

 

797,608.66

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 2 A2

 

10/8/2015

 

0.76

 

797,565

 

798,929

 

940,000.00

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 3 A2

 

12/8/2015

 

0.71

 

939,938

 

941,599

 

885,000.00

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 4 A2

 

4/8/2016

 

0.49

 

884,970

 

885,415

 

760,000.00

 

AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 5 A2

 

1/8/2016

 

0.51

 

759,982

 

760,109

 

400,000.00

 

AMGEN INC SR UNSECURED 06/18 6.15

 

6/1/2018

 

6.15

 

459,336

 

485,962

 

460,000.00

 

ANHEUSER BUSCH COS LLC COMPANY GUAR 03/19 5.

 

3/1/2019

 

5

 

505,044

 

540,307

 

350,000.00

 

ANHEUSER BUSCH INBEV WOR COMPANY GUAR 07/17 1.375

 

7/15/2017

 

1.375

 

348,992

 

353,686

 

425,000.00

 

APACHE CORP SR UNSECURED 02/21 3.625

 

2/1/2021

 

3.625

 

444,720

 

463,148

 

1,070,000.00

 

ARKLE MASTER ISSUER PLC ARKLE 2010 2A 1A1 144A

 

5/17/2060

 

1.711

 

1,070,000

 

1,078,044

 

617,000.00

 

ARKLE MASTER ISSUER PLC ARKLE 2012 1A 2A1 144A

 

5/17/2060

 

2.011

 

617,000

 

634,460

 

1,505,000.00

 

ARRAN CARDS FUNDING PLC ARRAN 2012 1A A1 144A

 

7/15/2015

 

0.909

 

1,505,000

 

1,507,323

 

 

21



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i — Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

42,577.45

 

ARRAN RESIDENTIAL MORTGAGES FU ARRMF 2010 1A A1C 144A

 

5/16/2047

 

1.6365

 

$

42,577

 

$

42,619

 

130,000.00

 

ASIAN DEVELOPMENT BANK SR UNSECURED 07/18 5.593

 

7/16/2018

 

5.593

 

144,729

 

159,601

 

1,000,000.00

 

AT+T INC SR UNSECURED 02/17 1.6

 

2/15/2017

 

1.6

 

1,000,950

 

1,011,741

 

550,000.00

 

AT+T INC SR UNSECURED 06/16 5.625

 

6/15/2016

 

5.625

 

617,683

 

631,281

 

200,000.00

 

AT+T INC SR UNSECURED 08/21 3.875

 

8/15/2021

 

3.875

 

205,316

 

222,902

 

400,000.00

 

AT+T INC SR UNSECURED 12/17 1.4

 

12/1/2017

 

1.4

 

399,980

 

400,075

 

175,000.00

 

AT+T INC SR UNSECURED 12/22 2.625

 

12/1/2022

 

2.625

 

174,864

 

175,288

 

130,000.00

 

BAE SYSTEMS HOLDINGS INC COMPANY GUAR 144A 08/15 5.2

 

8/15/2015

 

5.2

 

131,182

 

142,362

 

145,000.00

 

BAE SYSTEMS PLC SR UNSECURED 144A 10/16 3.5

 

10/11/2016

 

3.5

 

153,145

 

152,884

 

124,244.40

 

BANC OF AMERICA COMMERCIAL MOR BACM 2004 1 A3

 

11/10/2039

 

4.429

 

121,216

 

125,456

 

720,000.00

 

BANC OF AMERICA COMMERCIAL MOR BACM 2005 3 A3A

 

7/10/2043

 

4.621

 

732,600

 

721,051

 

280,000.00

 

BANK OF AMERICA CORP SR UNSECURED 01/22 5.7

 

1/24/2022

 

5.7

 

332,808

 

336,714

 

250,000.00

 

BANK OF AMERICA CORP SR UNSECURED 01/22 5.7

 

1/24/2022

 

5.7

 

250,114

 

300,637

 

325,000.00

 

BANK OF AMERICA CORP SR UNSECURED 05/21 5.

 

5/13/2021

 

5

 

290,515

 

371,037

 

565,000.00

 

BANK OF AMERICA CORP SR UNSECURED 05/21 5.

 

5/13/2021

 

5

 

597,160

 

645,033

 

255,000.00

 

BANK OF AMERICA CORP SR UNSECURED 07/16 3.75

 

7/12/2016

 

3.75

 

247,501

 

272,576

 

250,000.00

 

BANK OF AMERICA CORP SR UNSECURED 07/20 5.625

 

7/1/2020

 

5.625

 

283,213

 

296,407

 

770,000.00

 

BANK OF AMERICA CORP SR UNSECURED 08/16 6.5

 

8/1/2016

 

6.5

 

838,718

 

889,164

 

250,000.00

 

BANK OF AMERICA CORP SR UNSECURED 09/17 6.

 

9/1/2017

 

6

 

284,818

 

292,754

 

675,000.00

 

BANK OF AMERICA CORP SR UNSECURED 10/16 5.625

 

10/14/2016

 

5.625

 

693,358

 

763,225

 

625,000.00

 

BANK OF AMERICA CORP SR UNSECURED 12/17 5.75

 

12/1/2017

 

5.75

 

723,156

 

728,497

 

240,000.00

 

BANK OF CHINA (NY) CERT OF DEPO 12/13 1.1

 

12/23/2013

 

1.1

 

240,000

 

241,173

 

600,000.00

 

BANK OF NOVA SCOTIA SR UNSECURED 10/15 0.75

 

10/9/2015

 

0.75

 

599,982

 

596,713

 

465,000.00

 

BANK OF NOVA SCOTIA SR UNSECURED 10/15 0.75

 

10/9/2015

 

0.75

 

464,986

 

462,453

 

700,000.00

 

BANK OF SCOTLAND PLC COVERED 144A 02/17 5.25

 

2/21/2017

 

5.25

 

742,685

 

800,265

 

240,000.00

 

BANKWEST INC CERT OF DEPO 01/17 VAR

 

1/23/2017

 

0.75

 

240,000

 

241,132

 

300,000.00

 

BAPTIST HLTH SO FLOR INC SECURED 08/21 4.59

 

8/15/2021

 

4.59

 

300,000

 

335,973

 

710,000.00

 

BARCLAYS BANK PLC COVERED 144A 05/17 2.25

 

5/10/2017

 

2.25

 

738,365

 

732,472

 

750,000.00

 

BARCLAYS BANK PLC SR UNSECURED 01/14 VAR

 

1/13/2014

 

1.20675

 

750,000

 

747,403

 

240,000.00

 

BARCLAYS BANK/DELAWARE CERT OF DEPO 12/15 1.55

 

12/7/2015

 

1.55

 

240,000

 

244,234

 

350,000.00

 

BAT INTL FINANCE PLC COMPANY GUAR 144A 06/17 2.125

 

6/7/2017

 

2.125

 

359,923

 

358,631

 

313,000.00

 

BAT INTL FINANCE PLC COMPANY GUAR 144A 06/22 3.25

 

6/7/2022

 

3.25

 

309,242

 

326,252

 

615,000.00

 

BEAR STEARNS COMMERCIAL MORTGA BSCMS 2005 PWR9 A4A

 

9/11/2042

 

4.871

 

678,782

 

675,598

 

651,000.00

 

BEAR STEARNS COMMERCIAL MORTGA BSCMS 2005 PWR9 AAB

 

9/11/2042

 

4.804

 

675,819

 

677,938

 

550,000.00

 

BEAR STEARNS COS LLC SR UNSECURED 02/18 7.25

 

2/1/2018

 

7.25

 

575,694

 

689,174

 

405,000.00

 

BERKSHIRE HATHAWAY FIN COMPANY GUAR 05/17 1.6

 

5/15/2017

 

1.6

 

404,688

 

412,808

 

850,000.00

 

BERKSHIRE HATHAWAY INC SR UNSECURED 08/14 VAR

 

8/15/2014

 

1.01

 

851,233

 

858,775

 

100,000.00

 

BHP BILLITON FIN USA LTD COMPANY GUAR 02/22 2.875

 

2/24/2022

 

2.875

 

99,064

 

104,412

 

300,000.00

 

BHP BILLITON FIN USA LTD COMPANY GUAR 11/14 1.125

 

11/21/2014

 

1.125

 

298,935

 

303,617

 

850,000.00

 

BLACKROCK INC SR UNSECURED 06/15 1.375

 

6/1/2015

 

1.375

 

863,719

 

863,263

 

200,000.00

 

BLACKROCK INC SR UNSECURED 12/19 5.

 

12/10/2019

 

5

 

219,614

 

239,306

 

250,000.00

 

BLACKSTONE HOLDINGS FINA COMPANY GUAR 144A 02/23 4.75

 

2/15/2023

 

4.75

 

245,732

 

264,820

 

500,000.00

 

BNP PARIBAS BANK GUARANT 01/14 VAR

 

1/10/2014

 

1.25025

 

503,845

 

501,520

 

300,000.00

 

BOARDWALK PIPELINES LLC COMPANY GUAR 11/16 5.875

 

11/15/2016

 

5.875

 

299,213

 

335,137

 

300,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 03/16 3.2

 

3/11/2016

 

3.2

 

299,724

 

320,017

 

410,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 05/17 1.846

 

5/5/2017

 

1.846

 

410,000

 

419,132

 

325,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 05/22 3.245

 

5/6/2022

 

3.245

 

333,814

 

342,390

 

875,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 10/20 4.5

 

10/1/2020

 

4.5

 

922,223

 

1,008,403

 

390,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 10/20 4.5

 

10/1/2020

 

4.5

 

434,624

 

449,460

 

800,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 11/16 2.248

 

11/1/2016

 

2.248

 

811,264

 

832,307

 

425,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 11/17 1.375

 

11/6/2017

 

1.375

 

424,652

 

425,375

 

315,000.00

 

BP CAPITAL MARKETS PLC COMPANY GUAR 11/22 2.5

 

11/6/2022

 

2.5

 

312,820

 

312,112

 

240,000.00

 

BREMER BANK ST CLOUD CERT OF DEPO 08/17 1.2

 

8/29/2017

 

1.2

 

240,000

 

242,072

 

275,000.00

 

BROADCOM CORP SR UNSECURED 144A 08/22 2.5

 

8/15/2022

 

2.5

 

272,951

 

271,837

 

305,000.00

 

BROADCOM CORP SR UNSECURED 144A 08/22 2.5

 

8/15/2022

 

2.5

 

302,728

 

301,492

 

300,000.00

 

BROWN FORMAN CORP SR UNSECURED 01/18 1.

 

1/15/2018

 

1

 

299,007

 

298,300

 

 

22



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i — Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

350,000.00

 

BURLINGTN NORTH SANTA FE SR UNSECURED 03/18 5.75

 

3/15/2018

 

5.75

 

$

409,815

 

$

423,432

 

190,000.00

 

BURLINGTN NORTH SANTA FE SR UNSECURED 09/21 3.45

 

9/15/2021

 

3.45

 

192,424

 

204,482

 

225,000.00

 

BURLINGTN NORTH SANTA FE SR UNSECURED 09/22 3.05

 

9/1/2022

 

3.05

 

231,419

 

232,528

 

150,000.00

 

BURLINGTN NORTH SANTA FE SR UNSECURED 10/19 4.7

 

10/1/2019

 

4.7

 

167,235

 

172,914

 

835,000.00

 

CABELA S MASTER CREDIT CARD TR CABMT 2012 2A A1 144A

 

6/15/2020

 

1.45

 

834,657

 

845,761

 

590,000.00

 

CAIXA ECONOMICA FEDERAL SR UNSECURED 144A 11/17 2.375

 

11/6/2017

 

2.375

 

588,203

 

585,678

 

450,000.00

 

CAMDEN PROPERTY TRUST SR UNSECURED 05/17 5.7

 

5/15/2017

 

5.7

 

512,207

 

517,934

 

400,000.00

 

CAMPBELL SOUP CO SR UNSECURED 02/19 4.5

 

2/15/2019

 

4.5

 

441,056

 

453,942

 

1,000,000.00

 

CANADIAN NATL RESOURCES SR UNSECURED 02/13 5.15

 

2/1/2013

 

5.15

 

999,710

 

1,003,506

 

650,000.00

 

CAPITAL ONE FINANCIAL CO SR UNSECURED 07/21 4.75

 

7/15/2021

 

4.75

 

646,991

 

749,555

 

300,000.00

 

CAPITAL ONE FINANCIAL CO SR UNSECURED 07/21 4.75

 

7/15/2021

 

4.75

 

312,477

 

345,949

 

340,000.00

 

CAPITAL ONE FINANCIAL CO SR UNSECURED 07/21 4.75

 

7/15/2021

 

4.75

 

359,455

 

392,075

 

155,000.00

 

CAPITAL ONE FINANCIAL CO SR UNSECURED 09/17 6.75

 

9/15/2017

 

6.75

 

191,215

 

189,298

 

250,000.00

 

CAPITAL ONE FINANCIAL CO SR UNSECURED 11/15 1.

 

11/6/2015

 

1

 

249,228

 

249,156

 

345,000.00

 

CARNIVAL CORP COMPANY GUAR 12/17 1.875

 

12/15/2017

 

1.875

 

344,276

 

345,469

 

800,000.00

 

CATERPILLAR FINANCIAL SE SR UNSECURED 04/14 VAR

 

4/1/2014

 

0.65025

 

799,410

 

803,079

 

650,000.00

 

CATERPILLAR FINANCIAL SE SR UNSECURED 05/15 1.1

 

5/29/2015

 

1.1

 

649,792

 

655,397

 

200,000.00

 

CATERPILLAR FINANCIAL SE SR UNSECURED 06/17 1.625

 

6/1/2017

 

1.625

 

199,674

 

203,762

 

220,000.00

 

CATERPILLAR FINANCIAL SE SR UNSECURED 11/17 1.25

 

11/6/2017

 

1.25

 

219,703

 

219,834

 

455,000.00

 

CATERPILLAR INC SR UNSECURED 06/17 1.5

 

6/26/2017

 

1.5

 

454,454

 

460,817

 

440,000.00

 

CATERPILLAR INC SR UNSECURED 06/17 1.5

 

6/26/2017

 

1.5

 

439,472

 

445,625

 

165,000.00

 

CATERPILLAR INC SR UNSECURED 08/16 5.7

 

8/15/2016

 

5.7

 

194,825

 

191,416

 

400,000.00

 

CATERPILLAR INC SR UNSECURED 12/18 7.9

 

12/15/2018

 

7.9

 

532,592

 

542,584

 

570,000.00

 

CATHOLIC HEALTH INITIATI SECURED 11/17 1.6

 

11/1/2017

 

1.6

 

569,835

 

576,099

 

75,000.00

 

CATHOLIC HEALTH INITIATI SECURED 11/22 2.95

 

11/1/2022

 

2.95

 

76,571

 

75,701

 

617,050.15

 

CD COMMERCIAL MORTGAGE TRUST CD 2005 CD1 ASB

 

7/15/2044

 

5.219083

 

645,492

 

640,333

 

805,000.00

 

CDP FINANCIAL COMPANY GUAR 144A 11/19 4.4

 

11/25/2019

 

4.4

 

911,944

 

926,260

 

450,000.00

 

CELLCO PART/VERI WIRELSS SR UNSECURED 11/18 8.5

 

11/15/2018

 

8.5

 

603,365

 

619,065

 

540,000.00

 

CELLCO PART/VERI WIRELSS SR UNSECURED 11/18 8.5

 

11/15/2018

 

8.5

 

638,685

 

742,878

 

475,000.00

 

CENOVUS ENERGY INC SR UNSECURED 08/22 3.

 

8/15/2022

 

3

 

470,863

 

485,128

 

1,000,000.00

 

CENOVUS ENERGY INC SR UNSECURED 09/14 4.5

 

9/15/2014

 

4.5

 

1,082,400

 

1,060,920

 

240,000.00

 

CENTRIX BANK + TRUST CERT OF DEPO 05/17 VAR

 

5/30/2017

 

1

 

240,000

 

240,183

 

535,000.00

 

CHEVRON CORP SR UNSECURED 12/17 1.104

 

12/5/2017

 

1.104

 

535,000

 

538,735

 

350,000.00

 

CIGNA CORP SR UNSECURED 11/16 2.75

 

11/15/2016

 

2.75

 

349,708

 

368,180

 

445,000.00

 

CINTAS CORPORATION NO. 2 COMPANY GUAR 06/16 2.85

 

6/1/2016

 

2.85

 

457,001

 

467,713

 

240,000.00

 

CIT BANK CERT OF DEPO 11/15 1.65

 

11/16/2015

 

1.65

 

240,000

 

245,588

 

90,000.00

 

CITIGROUP INC SR UNSECURED 01/15 6.01

 

1/15/2015

 

6.01

 

96,782

 

98,344

 

175,000.00

 

CITIGROUP INC SR UNSECURED 01/22 4.5

 

1/14/2022

 

4.5

 

191,922

 

195,248

 

830,000.00

 

CITIGROUP INC SR UNSECURED 03/15 2.65

 

3/2/2015

 

2.65

 

828,089

 

854,706

 

260,000.00

 

CITIGROUP INC SR UNSECURED 05/15 4.75

 

5/19/2015

 

4.75

 

273,749

 

280,289

 

595,000.00

 

CITIGROUP INC SR UNSECURED 11/17 6.125

 

11/21/2017

 

6.125

 

637,037

 

708,143

 

790,000.00

 

CITIGROUP INC SR UNSECURED 12/15 4.587

 

12/15/2015

 

4.587

 

791,675

 

862,483

 

450,000.00

 

CITIGROUP INC SUBORDINATED 09/14 5.

 

9/15/2014

 

5

 

438,491

 

473,440

 

190,000.00

 

CITIGROUP INC SUBORDINATED 09/14 5.

 

9/15/2014

 

5

 

196,014

 

199,897

 

300,000.00

 

COCA COLA AMATIL LTD COMPANY GUAR 144A 11/14 3.25

 

11/2/2014

 

3.25

 

311,973

 

310,595

 

425,000.00

 

COLGATE PALMOLIVE CO SR UNSECURED 02/23 1.95

 

2/1/2023

 

1.95

 

418,782

 

413,332

 

350,000.00

 

COLLEGE LOAN CORPORATION TRUST COLLE 2004 1 A4

 

4/25/2024

 

0.50525

 

327,250

 

329,772

 

50,000.00

 

COMCAST CABLE HOLDINGS COMPANY GUAR 08/13 7.875

 

8/1/2013

 

7.875

 

57,732

 

52,097

 

400,000.00

 

COMCAST CORP COMPANY GUAR 01/17 6.5

 

1/15/2017

 

6.5

 

472,744

 

482,417

 

550,000.00

 

COMCAST CORP COMPANY GUAR 02/18 5.875

 

2/15/2018

 

5.875

 

619,011

 

662,778

 

160,000.00

 

COMCAST CORP COMPANY GUAR 02/18 5.875

 

2/15/2018

 

5.875

 

189,776

 

192,808

 

500,000.00

 

COMCAST CORP COMPANY GUAR 03/16 5.9

 

3/15/2016

 

5.9

 

572,360

 

574,467

 

743,000.00

 

COMM MORTGAGE TRUST COMM 2006 C8 A3

 

12/10/2046

 

5.308

 

776,667

 

766,273

 

614,222.48

 

COMM MORTGAGE TRUST COMM 2010 C1 A1 144A

 

7/10/2046

 

3.156

 

637,232

 

648,509

 

185,000.00

 

COMMONWEALTH REIT SR UNSECURED 08/16 6.25

 

8/15/2016

 

6.25

 

176,830

 

202,952

 

255,000.00

 

COMMONWEALTH REIT SR UNSECURED 11/15 5.75

 

11/1/2015

 

5.75

 

254,232

 

265,610

 

 

23



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i — Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

1,000,000.00

 

CONS EDISON CO OF NY SR UNSECURED 12/16 5.3

 

12/1/2016

 

5.3

 

$

1,174,020

 

$

1,151,379

 

200,000.00

 

COSTCO WHOLESALE CORP SR UNSECURED 12/17 1.125

 

12/15/2017

 

1.125

 

199,960

 

201,339

 

260,000.00

 

COSTCO WHOLESALE CORP SR UNSECURED 12/19 1.7

 

12/15/2019

 

1.7

 

259,418

 

261,771

 

7,885.02

 

COUNTRYWIDE ASSET BACKED CERTI CWL 2002 6 AV1

 

5/25/2033

 

1.0707

 

7,902

 

6,691

 

5,723.81

 

COUNTRYWIDE ASSET BACKED CERTI CWL 2004 12 AF4

 

11/25/2032

 

4.622

 

5,662

 

5,688

 

675,000.00

 

COVIDIEN INTL FINANCE SA COMPANY GUAR 05/15 1.35

 

5/29/2015

 

1.35

 

674,784

 

684,134

 

291,000.00

 

COX COMMUNICATIONS INC SR UNSECURED 12/14 5.45

 

12/15/2014

 

5.45

 

323,891

 

317,360

 

240,000.00

 

COX COMMUNICATIONS INC SR UNSECURED 144A 12/22 3.25

 

12/15/2022

 

3.25

 

239,630

 

247,502

 

275,000.00

 

COX COMMUNICATIONS INC SR UNSECURED 144A 12/22 3.25

 

12/15/2022

 

3.25

 

274,577

 

283,596

 

795,000.00

 

CREDIT SUISSE GUERNSEY COVERED 144A 03/15 1.625

 

3/6/2015

 

1.625

 

792,408

 

809,791

 

1,150,000.00

 

CREDIT SUISSE GUERNSEY COVERED 144A 05/16 2.6

 

5/27/2016

 

2.6

 

1,183,879

 

1,213,489

 

775,000.00

 

CREDIT SUISSE NEW YORK SR UNSECURED 05/14 5.5

 

5/1/2014

 

5.5

 

824,631

 

824,595

 

750,000.00

 

CVS CAREMARK CORP SR UNSECURED 05/21 4.125

 

5/15/2021

 

4.125

 

768,184

 

845,947

 

1,130,000.00

 

DAIMLER FINANCE NA LLC COMPANY GUAR 144A 09/14 1.875

 

9/15/2014

 

1.875

 

1,126,429

 

1,148,521

 

1,530,000.00

 

DBUBS MORTGAGE TRUST DBUBS 2011 LC1A A2 144A

 

11/10/2046

 

4.528

 

1,536,227

 

1,753,255

 

335,000.00

 

DEERE + COMPANY SR UNSECURED 06/22 2.6

 

6/8/2022

 

2.6

 

334,149

 

339,221

 

1,000,000.00

 

DELL INC SR UNSECURED 04/14 2.1

 

4/1/2014

 

2.1

 

1,020,830

 

1,018,302

 

375,000.00

 

DEUTSCHE TELEKOM INT FIN COMPANY GUAR 144A 03/17 2.25

 

3/6/2017

 

2.25

 

372,889

 

384,558

 

370,000.00

 

DIRECTV HOLDINGS/FING COMPANY GUAR 02/21 4.6

 

2/15/2021

 

4.6

 

404,950

 

400,540

 

1,900,000.00

 

DIRECTV HOLDINGS/FING COMPANY GUAR 03/16 3.5

 

3/1/2016

 

3.5

 

1,896,409

 

2,012,871

 

500,000.00

 

DIRECTV HOLDINGS/FING COMPANY GUAR 03/16 3.5

 

3/1/2016

 

3.5

 

514,310

 

529,703

 

195,000.00

 

DIRECTV HOLDINGS/FING COMPANY GUAR 03/21 5.

 

3/1/2021

 

5

 

218,457

 

218,747

 

240,000.00

 

DISCOVER BANK CERT OF DEPO 02/16 1.35

 

2/1/2016

 

1.35

 

240,000

 

244,245

 

1,145,000.00

 

DNB BOLIGKREDITT AS COVERED 144A 03/17 2.9

 

3/29/2017

 

2.9

 

1,188,808

 

1,217,341

 

700,000.00

 

DNB BOLIGKREDITT AS COVERED 144A 03/17 2.9

 

3/29/2017

 

2.9

 

726,857

 

744,226

 

460,000.00

 

DOLPHIN ENERGY LTD SR SECURED 144A 12/21 5.5

 

12/15/2021

 

5.5

 

463,250

 

536,475

 

450,000.00

 

DOMINION RESOURCES INC SR UNSECURED 06/18 6.4

 

6/15/2018

 

6.4

 

497,903

 

559,215

 

240,000.00

 

DORAL BANK CERT OF DEPO 08/16 1.2

 

8/9/2016

 

1.2

 

240,000

 

240,750

 

204,000.00

 

DOW CHEMICAL CO/THE SR UNSECURED 05/14 7.6

 

5/15/2014

 

7.6

 

231,050

 

222,723

 

330,000.00

 

DR PEPPER SNAPPLE GROUP COMPANY GUAR 11/22 2.7

 

11/15/2022

 

2.7

 

328,769

 

327,843

 

250,000.00

 

DUKE ENERGY CAROLINAS 1ST REF MORT 01/18 5.25

 

1/15/2018

 

5.25

 

249,150

 

298,419

 

485,000.00

 

DUKE ENERGY PROGRESS INC 1ST MORTGAGE 01/19 5.3

 

1/15/2019

 

5.3

 

566,079

 

583,296

 

180,000.00

 

DUKE ENERGY PROGRESS INC 1ST MORTGAGE 05/22 2.8

 

5/15/2022

 

2.8

 

179,595

 

184,846

 

15,000.00

 

E.I. DU PONT DE NEMOURS SR UNSECURED 01/13 5.

 

1/15/2013

 

5

 

14,967

 

15,024

 

525,000.00

 

EASTMAN CHEMICAL CO SR UNSECURED 06/17 2.4

 

6/1/2017

 

2.4

 

532,809

 

542,453

 

200,000.00

 

EATON CORP COMPANY GUAR 144A 11/15 0.95

 

11/2/2015

 

0.95

 

199,826

 

200,608

 

175,000.00

 

EATON CORP COMPANY GUAR 144A 11/17 1.5

 

11/2/2017

 

1.5

 

174,809

 

175,358

 

370,000.00

 

EATON CORP SR UNSECURED 03/14 5.95

 

3/20/2014

 

5.95

 

408,798

 

393,010

 

85,000.00

 

EBAY INC SR UNSECURED 07/17 1.35

 

7/15/2017

 

1.35

 

84,952

 

85,990

 

480,000.00

 

ECOLAB INC SR UNSECURED 08/15 1.

 

8/9/2015

 

1

 

479,760

 

481,341

 

700,000.00

 

ECOLAB INC SR UNSECURED 12/21 4.35

 

12/8/2021

 

4.35

 

726,238

 

781,327

 

155,000.00

 

ECOLAB INC SR UNSECURED 12/21 4.35

 

12/8/2021

 

4.35

 

167,343

 

173,008

 

850,000.00

 

EDISON INTERNATIONAL SR UNSECURED 09/17 3.75

 

9/15/2017

 

3.75

 

835,720

 

921,722

 

1,000,000.00

 

EKSPORTFINANS ASA SR UNSECURED 04/13 VAR

 

4/5/2013

 

0.5525

 

995,940

 

995,275

 

560,000.00

 

EKSPORTFINANS ASA SR UNSECURED 05/16 5.5

 

5/25/2016

 

5.5

 

537,925

 

582,924

 

175,000.00

 

EKSPORTFINANS ASA SR UNSECURED 06/17 5.5

 

6/26/2017

 

5.5

 

163,924

 

184,175

 

650,000.00

 

EKSPORTFINANS ASA SR UNSECURED 11/14 3.

 

11/17/2014

 

3

 

646,984

 

644,842

 

175,000.00

 

ENDURANCE SPECIALTY HLDG SR UNSECURED 10/15 6.15

 

10/15/2015

 

6.15

 

174,368

 

192,306

 

270,000.00

 

ENTERGY ARKANSAS INC 1ST MORTGAGE 02/21 3.75

 

2/15/2021

 

3.75

 

269,922

 

295,355

 

295,000.00

 

ENTERGY ARKANSAS INC 1ST MORTGAGE 08/13 5.4

 

8/1/2013

 

5.4

 

294,979

 

303,035

 

450,000.00

 

ENTERPRISE PRODUCTS OPER COMPANY GUAR 01/20 5.25

 

1/31/2020

 

5.25

 

527,400

 

534,726

 

275,000.00

 

ERAC USA FINANCE LLC COMPANY GUAR 144A 10/22 3.3

 

10/15/2022

 

3.3

 

274,142

 

278,423

 

475,000.00

 

ERP OPERATING LP SR UNSECURED 12/21 4.625

 

12/15/2021

 

4.625

 

473,190

 

535,046

 

305,000.00

 

ESTEE LAUDER CO INC SR UNSECURED 08/22 2.35

 

8/15/2022

 

2.35

 

304,729

 

301,983

 

240,000.00

 

EVERBANK/JACKSONVILLE FL CERT OF DEPO 09/16 0.85

 

9/28/2016

 

0.85

 

240,000

 

240,540

 

900,000.00

 

EXPRESS SCRIPTS HOLDING COMPANY GUAR 144A 11/16 3.5

 

11/15/2016

 

3.5

 

907,173

 

962,249

 

 

24



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

353,876.21

 

FANNIE MAE FNR 1997 20 F

 

3/25/2027

 

0.64117

 

$

341,048

 

$

349,071

 

234,547.14

 

FANNIE MAE FNR 2004 54 FL

 

7/25/2034

 

0.6097

 

232,128

 

235,257

 

247,238.77

 

FANNIE MAE FNR 2004 79 FA

 

8/25/2032

 

0.4997

 

243,530

 

247,379

 

202,381.31

 

FANNIE MAE FNR 2004 90 GF

 

11/25/2034

 

0.5097

 

200,231

 

202,911

 

562,026.54

 

FANNIE MAE FNR 2005 51 ND

 

11/25/2033

 

5.5

 

586,966

 

578,893

 

354,306.10

 

FANNIE MAE FNR 2006 104 FV

 

11/25/2036

 

0.5507

 

340,134

 

356,004

 

339,067.61

 

FANNIE MAE FNR 2006 123 PF

 

1/25/2037

 

0.4697

 

333,558

 

339,729

 

215,427.21

 

FANNIE MAE FNR 2006 48 FA

 

6/25/2036

 

0.6097

 

211,523

 

216,740

 

559,241.31

 

FANNIE MAE FNR 2006 72 HF

 

8/25/2026

 

0.5097

 

557,421

 

560,632

 

330,143.10

 

FANNIE MAE FNR 2006 76 QF

 

8/25/2036

 

0.6097

 

314,461

 

333,016

 

180,983.47

 

FANNIE MAE FNR 2006 93 FP

 

4/25/2036

 

0.5097

 

177,279

 

181,375

 

392,710.29

 

FANNIE MAE FNR 2007 2 FM

 

2/25/2037

 

0.4597

 

391,054

 

393,060

 

238,206.48

 

FANNIE MAE FNR 2007 22 FC

 

3/25/2037

 

0.6297

 

237,797

 

239,996

 

126,195.95

 

FANNIE MAE FNR 2007 67 FA

 

4/25/2037

 

0.4597

 

124,934

 

126,265

 

114,389.62

 

FANNIE MAE FNR 2007 9 FB

 

3/25/2037

 

0.5597

 

112,906

 

114,970

 

555,000.00

 

FANNIE MAE FNR 2010 136 CY

 

12/25/2040

 

4

 

625,155

 

630,170

 

215,555.61

 

FANNIE MAE FNR 2011 3 FA

 

2/25/2041

 

0.8897

 

215,286

 

217,054

 

745,456.57

 

FANNIE MAE FNR 2012 67 PD

 

12/25/2040

 

3

 

758,735

 

761,224

 

900,000.00

 

FANNIE MAE NOTES 03/17 VAR

 

3/13/2017

 

1

 

900,000

 

901,323

 

1,255,000.00

 

FANNIE MAE NOTES 03/22 2.7

 

3/28/2022

 

2.7

 

1,255,000

 

1,261,083

 

900,000.00

 

FANNIE MAE NOTES 04/17 VAR

 

4/17/2017

 

1.1

 

900,000

 

900,032

 

6,000,000.00

 

FANNIE MAE NOTES 05/13 VAR

 

5/17/2013

 

0.221

 

5,996,760

 

6,000,108

 

400,000.00

 

FANNIE MAE NOTES 05/29 6.25

 

5/15/2029

 

6.25

 

576,073

 

574,636

 

1,595,000.00

 

FANNIE MAE NOTES 07/15 0.6

 

7/24/2015

 

0.6

 

1,595,000

 

1,595,396

 

400,000.00

 

FANNIE MAE NOTES 08/17 0.875

 

8/28/2017

 

0.875

 

400,151

 

401,154

 

1,215,000.00

 

FANNIE MAE NOTES 08/19 1.7

 

8/28/2019

 

1.7

 

1,213,785

 

1,217,425

 

1,165,000.00

 

FANNIE MAE NOTES 09/18 1.25

 

9/27/2018

 

1.25

 

1,165,000

 

1,167,782

 

800,000.00

 

FANNIE MAE NOTES 10/17 0.875

 

10/26/2017

 

0.875

 

798,202

 

803,238

 

1,225,000.00

 

FANNIE MAE NOTES 10/17 0.875

 

10/26/2017

 

0.875

 

1,224,935

 

1,229,958

 

500,000.00

 

FANNIE MAE NOTES 11/30 6.625

 

11/15/2030

 

6.625

 

781,402

 

761,502

 

80,128.06

 

FANNIEMAE GRANTOR TRUST FNGT 2002 T6 A1

 

2/25/2032

 

3.31

 

73,117

 

82,883

 

667,560.01

 

FANNIEMAE GRANTOR TRUST FNGT 2003 T4 1A

 

9/26/2033

 

0.4305

 

640,858

 

658,515

 

336,832.55

 

FDIC TRUST FDIC 2011 C1 A 144A

 

4/25/2031

 

1.84

 

336,833

 

341,292

 

421.25

 

FED HM LN PC POOL E93978

 

1/1/2013

 

5

 

428

 

421

 

270,000.00

 

FEDEX CORP COMPANY GUAR 08/22 2.625

 

8/1/2022

 

2.625

 

269,314

 

268,614

 

143,081.53

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K001 A2

 

4/25/2016

 

5.651

 

143,797

 

159,674

 

165,000.00

 

FHLMC MULTIFAMILY STRUCTURED P FHMS K013 A2

 

1/25/2021

 

3.974

 

166,640

 

189,006

 

175,000.00

 

FIFTH THIRD BANCORP SR UNSECURED 01/16 3.625

 

1/25/2016

 

3.625

 

174,794

 

186,974

 

135,000.00

 

FIFTH THIRD BANCORP SR UNSECURED 03/22 3.5

 

3/15/2022

 

3.5

 

134,063

 

141,490

 

300,000.00

 

FIFTH THIRD BANK SR UNSECURED 05/13 VAR

 

5/17/2013

 

0.421

 

278,973

 

299,927

 

240,000.00

 

FIRST NATL BK OMAHA CERT OF DEPO 10/14 0.6

 

10/24/2014

 

0.6

 

240,000

 

240,141

 

240,000.00

 

FIRSTBANK PUERTO RICO CERT OF DEPO 10/15 1.

 

10/26/2015

 

1

 

240,000

 

239,645

 

557,000.00

 

FMS WERTMANAGEMENT GOVT GUARANT 11/17 1.

 

11/21/2017

 

1

 

556,894

 

556,276

 

483,153.59

 

FNMA POOL 467288

 

3/1/2018

 

2.8

 

465,904

 

520,974

 

420,000.00

 

FNMA POOL 468123

 

5/1/2018

 

3.84

 

426,038

 

471,442

 

3,372,095.30

 

FNMA POOL 735028

 

9/1/2014

 

5.734

 

3,546,496

 

3,558,776

 

498,193.27

 

FNMA POOL AL2293

 

6/1/2021

 

4.375

 

573,701

 

579,655

 

292,146.95

 

FNMA POOL FN0004

 

12/1/2020

 

3.632

 

283,462

 

326,521

 

291,899.24

 

FNMA POOL FN0009

 

10/1/2020

 

3.416

 

279,311

 

322,190

 

1,305,000.00

 

FORD CREDIT FLOORPLAN MASTER O FORDF 2012 2 A

 

1/15/2019

 

1.92

 

1,304,618

 

1,339,966

 

525,000.00

 

FORD MOTOR CREDIT CO LLC SR UNSECURED 05/18 5.

 

5/15/2018

 

5

 

580,688

 

579,304

 

180,000.00

 

FRANKLIN RESOURCES INC SR UNSECURED 09/22 2.8

 

9/15/2022

 

2.8

 

179,550

 

182,200

 

17,282.53

 

FREDDIE MAC FHR 1641 FA

 

12/15/2013

 

1.2

 

17,415

 

17,352

 

386,062.80

 

FREDDIE MAC FHR 2395 FD

 

5/15/2029

 

0.808

 

388,476

 

389,988

 

20,055.02

 

FREDDIE MAC FHR 2614 NA

 

4/15/2033

 

3.75

 

20,481

 

20,309

 

53,316.16

 

FREDDIE MAC FHR 2627 MY

 

8/15/2022

 

5

 

55,715

 

54,082

 

 

25



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

19,387.68

 

FREDDIE MAC FHR 2628 LE

 

6/15/2033

 

3.25

 

$

19,606

 

$

19,926

 

469,001.83

 

FREDDIE MAC FHR 2736 BD

 

4/15/2032

 

5

 

491,866

 

478,006

 

623,504.92

 

FREDDIE MAC FHR 2890 PD

 

3/15/2033

 

5

 

657,603

 

636,412

 

114,410.75

 

FREDDIE MAC FHR 3019 FH

 

8/15/2035

 

0.508

 

114,239

 

114,428

 

657,022.98

 

FREDDIE MAC FHR 3128 JF

 

3/15/2036

 

0.584

 

651,274

 

660,384

 

881,894.79

 

FREDDIE MAC FHR 3325 EF

 

6/15/2037

 

0.714

 

887,407

 

890,532

 

296,216.80

 

FREDDIE MAC FHR 3387 FD

 

11/15/2037

 

0.788

 

295,569

 

299,424

 

459,606.22

 

FREDDIE MAC FHR 3565 XA

 

8/15/2022

 

4

 

475,692

 

468,524

 

732,786.62

 

FREDDIE MAC FHR 3730 JG

 

9/15/2039

 

3

 

759,121

 

755,783

 

1,509,948.27

 

FREDDIE MAC FHR 3804 ED

 

7/15/2040

 

3

 

1,568,910

 

1,562,167

 

742,094.79

 

FREDDIE MAC FHR 3820 PA

 

7/15/2019

 

4

 

765,981

 

762,983

 

512,247.94

 

FREDDIE MAC FHR 3876 CA

 

6/15/2026

 

2.75

 

533,458

 

529,114

 

728,533.97

 

FREDDIE MAC FHR 3879 MF

 

9/15/2038

 

0.564

 

729,758

 

730,499

 

877,289.96

 

FREDDIE MAC FHR 4097 BG

 

12/15/2041

 

2

 

897,577

 

895,965

 

2,300,000.00

 

FREDDIE MAC NOTES 01/22 2.375

 

1/13/2022

 

2.375

 

2,375,487

 

2,402,753

 

355,000.00

 

FREDDIE MAC NOTES 01/22 2.375

 

1/13/2022

 

2.375

 

355,902

 

370,860

 

990,000.00

 

FREDDIE MAC NOTES 05/15 0.6

 

5/22/2015

 

0.6

 

990,000

 

991,492

 

2,140,000.00

 

FREDDIE MAC NOTES 05/17 1.25

 

5/12/2017

 

1.25

 

2,128,080

 

2,189,580

 

805,000.00

 

FREDDIE MAC NOTES 06/15 0.42

 

6/19/2015

 

0.42

 

805,000

 

805,468

 

900,000.00

 

FREDDIE MAC NOTES 08/19 1.25

 

8/1/2019

 

1.25

 

896,157

 

901,246

 

628,000.00

 

FREDDIE MAC NOTES 09/17 1.

 

9/27/2017

 

1

 

627,812

 

630,034

 

715,000.00

 

FREDDIE MAC NOTES 10/19 1.25

 

10/2/2019

 

1.25

 

713,520

 

712,908

 

1,365,000.00

 

FREDDIE MAC NOTES 11/15 0.5

 

11/27/2015

 

0.5

 

1,365,000

 

1,366,716

 

199,000.00

 

FREEPORT MCMORAN C + G SR UNSECURED 03/17 2.15

 

3/1/2017

 

2.15

 

200,456

 

200,057

 

150,000.00

 

FREEPORT MCMORAN C + G SR UNSECURED 03/22 3.55

 

3/1/2022

 

3.55

 

148,565

 

148,766

 

220,000.00

 

GAZPROM (GAZ CAPITAL SA) SR UNSECURED REGS 07/22 4.95

 

7/19/2022

 

4.95

 

234,146

 

236,610

 

662,489.91

 

GCO EDUCATION LOAN FUNDING TRU GCOE 2007 1A A5L 144A

 

5/25/2023

 

0.3815

 

654,416

 

654,932

 

295,000.00

 

GDF SUEZ SR UNSECURED 144A 10/22 2.875

 

10/10/2022

 

2.875

 

291,457

 

291,988

 

240,000.00

 

GE CAPITAL BANK CERT OF DEPO 11/14 1.55

 

11/17/2014

 

1.55

 

240,000

 

242,648

 

240,000.00

 

GE CAPITAL RETAIL BANK CERT OF DEPO 12/16 2.1

 

12/29/2016

 

2.1

 

240,000

 

246,025

 

800,000.00

 

GE COMMERCIAL MORTGAGE CORPORA GECMC 2005 C1 A5

 

6/10/2048

 

4.772

 

863,750

 

862,693

 

270,000.00

 

GENERAL DYNAMICS CORP COMPANY GUAR 11/22 2.25

 

11/15/2022

 

2.25

 

267,265

 

264,218

 

850,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 04/17 2.3

 

4/27/2017

 

2.3

 

865,708

 

881,349

 

600,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 05/13 VAR

 

5/8/2013

 

0.46175

 

576,330

 

600,526

 

500,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 05/17 VAR

 

5/30/2017

 

1.5

 

500,000

 

501,213

 

825,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 06/15 2.375

 

6/30/2015

 

2.375

 

846,343

 

852,206

 

670,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 09/14 VAR

 

9/15/2014

 

0.568

 

499,150

 

669,195

 

325,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 09/17 5.625

 

9/15/2017

 

5.625

 

346,684

 

383,410

 

430,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 09/22 3.15

 

9/7/2022

 

3.15

 

429,377

 

439,328

 

905,000.00

 

GENERAL ELEC CAP CORP SR UNSECURED 12/13 VAR

 

12/17/2013

 

0.429

 

647,075

 

902,509

 

660,000.00

 

GENERAL ELECTRIC CO SR UNSECURED 10/22 2.7

 

10/9/2022

 

2.7

 

665,091

 

672,743

 

410,000.00

 

GENZYME CORP COMPANY GUAR 06/15 3.625

 

6/15/2015

 

3.625

 

435,729

 

439,276

 

1,000,000.00

 

GLAXOSMITHKLINE CAP INC COMPANY GUAR 05/18 5.65

 

5/15/2018

 

5.65

 

1,221,150

 

1,218,044

 

171,225.39

 

GNMA POOL 752842

 

7/15/2025

 

3.95

 

171,439

 

186,628

 

240,000.00

 

GOLDMAN SACHS BANK USA CERT OF DEPO 11/14 1.5

 

11/17/2014

 

1.5

 

240,000

 

242,427

 

785,000.00

 

GOLDMAN SACHS GROUP INC SR UNSECURED 01/22 5.75

 

1/24/2022

 

5.75

 

890,949

 

928,036

 

830,000.00

 

GOLDMAN SACHS GROUP INC SR UNSECURED 06/20 6.

 

6/15/2020

 

6

 

921,121

 

986,216

 

125,000.00

 

GOLDMAN SACHS GROUP INC SR UNSECURED 07/21 5.25

 

7/27/2021

 

5.25

 

124,933

 

142,497

 

205,000.00

 

GOODRICH CORP SR UNSECURED 03/19 6.125

 

3/1/2019

 

6.125

 

247,376

 

253,434

 

394,019.78

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2002 21 FV

 

3/16/2032

 

0.614

 

395,128

 

397,863

 

446,062.95

 

GOVERNMENT NATIONAL MORTGAGE A GNR 2010 87 PF

 

7/20/2040

 

0.8575

 

449,060

 

446,232

 

709,534.30

 

GS MORTGAGE SECURITIES TRUST GSMS 2004 GG2 A5

 

8/10/2038

 

5.279

 

730,820

 

720,429

 

333,781.23

 

GS MORTGAGE SECURITIES TRUST GSMS 2005 GG4 AABA

 

7/10/2039

 

4.68

 

347,341

 

337,040

 

505,000.00

 

GTE CORP COMPANY GUAR 04/18 6.84

 

4/15/2018

 

6.84

 

584,689

 

632,246

 

415,000.00

 

GTE CORP COMPANY GUAR 11/21 8.75

 

11/1/2021

 

8.75

 

547,846

 

583,218

 

175,000.00

 

GULF SOUTH PIPELINE SR UNSECURED 144A 08/17 6.3

 

8/15/2017

 

6.3

 

174,617

 

201,625

 

 

26



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

380,000.00

 

HARSCO CORP SR UNSECURED 10/15 2.7

 

10/15/2015

 

2.7

 

$

379,635

 

$

385,806

 

275,000.00

 

HARTFORD FINL SVCS GRP SR UNSECURED 01/19 6.

 

1/15/2019

 

6

 

321,247

 

320,284

 

600,000.00

 

HCP INC SR UNSECURED 01/17 6.

 

1/30/2017

 

6

 

649,500

 

689,249

 

525,000.00

 

HEINEKEN NV SR UNSECURED 144A 10/17 1.4

 

10/1/2017

 

1.4

 

523,268

 

523,415

 

215,000.00

 

HEWLETT PACKARD CO SR UNSECURED 06/21 4.3

 

6/1/2021

 

4.3

 

203,323

 

212,958

 

750,000.00

 

HEWLETT PACKARD CO SR UNSECURED 09/16 3.

 

9/15/2016

 

3

 

770,558

 

754,798

 

160,000.00

 

HP ENTERPRISE SERVICES SR UNSECURED 08/13 6.

 

8/1/2013

 

6

 

171,110

 

164,029

 

400,000.00

 

HSBC BANK PLC SR UNSECURED 144A 05/16 3.1

 

5/24/2016

 

3.1

 

399,852

 

422,908

 

755,000.00

 

HSBC HOLDINGS PLC SR UNSECURED 01/22 4.875

 

1/14/2022

 

4.875

 

764,435

 

876,229

 

290,000.00

 

HUMANA INC SR UNSECURED 12/22 3.15

 

12/1/2022

 

3.15

 

288,869

 

288,384

 

525,000.00

 

IBM CORP SR UNSECURED 02/15 0.55

 

2/6/2015

 

0.55

 

522,433

 

525,098

 

670,000.00

 

IBM CORP SR UNSECURED 05/15 0.75

 

5/11/2015

 

0.75

 

668,888

 

674,058

 

135,000.00

 

IBM CORP SR UNSECURED 11/19 8.375

 

11/1/2019

 

8.375

 

178,444

 

191,826

 

125,000.00

 

INGREDION INC SR UNSECURED 09/17 1.8

 

9/25/2017

 

1.8

 

124,298

 

124,178

 

1,000,000.00

 

INTEL CORP SR UNSECURED 10/16 1.95

 

10/1/2016

 

1.95

 

1,014,390

 

1,033,104

 

525,000.00

 

INTEL CORP SR UNSECURED 10/21 3.3

 

10/1/2021

 

3.3

 

538,004

 

556,690

 

140,000.00

 

INTEL CORP SR UNSECURED 10/21 3.3

 

10/1/2021

 

3.3

 

139,667

 

148,451

 

150,000.00

 

INTEL CORP SR UNSECURED 12/17 1.35

 

12/15/2017

 

1.35

 

149,841

 

149,957

 

350,000.00

 

INTL GAME TECHNOLOGY SR UNSECURED 06/19 7.5

 

6/15/2019

 

7.5

 

406,842

 

414,311

 

135,000.00

 

JERSEY CENTRAL PWR + LT SR UNSECURED 02/19 7.35

 

2/1/2019

 

7.35

 

134,829

 

172,438

 

325,000.00

 

JERSEY CENTRAL PWR + LT SR UNSECURED 05/16 5.625

 

5/1/2016

 

5.625

 

359,164

 

368,738

 

1,000,000.00

 

JOHN DEERE CAPITAL CORP SR UNSECURED 01/17 2.

 

1/13/2017

 

2

 

1,015,860

 

1,034,721

 

265,000.00

 

JOHN DEERE CAPITAL CORP UNSECURED 04/19 2.25

 

4/17/2019

 

2.25

 

274,376

 

272,743

 

250,000.00

 

JOHNSON CONTROLS INC SR UNSECURED 12/16 2.6

 

12/1/2016

 

2.6

 

249,873

 

260,445

 

355,000.00

 

JP MORGAN CHASE BANK NA SUBORDINATED 10/17 6.

 

10/1/2017

 

6

 

396,071

 

420,263

 

201,577.27

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2003 LN1 A1

 

10/15/2037

 

4.134

 

206,491

 

202,857

 

639,019.08

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP7 A3A

 

4/15/2045

 

5.871271

 

662,783

 

646,558

 

400,000.00

 

JP MORGAN CHASE COMMERCIAL MOR JPMCC 2011 PLSD A2 144A

 

11/13/2044

 

3.3638

 

399,875

 

431,269

 

500,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 01/14 VAR

 

1/24/2014

 

1.11575

 

504,080

 

503,355

 

65,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 01/16 2.6

 

1/15/2016

 

2.6

 

65,826

 

67,572

 

400,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 01/22 4.5

 

1/24/2022

 

4.5

 

417,084

 

452,495

 

225,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 07/16 3.15

 

7/5/2016

 

3.15

 

238,579

 

238,376

 

200,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 07/20 4.4

 

7/22/2020

 

4.4

 

200,156

 

225,769

 

435,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 08/17 2.

 

8/15/2017

 

2

 

441,417

 

444,351

 

150,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 08/21 4.35

 

8/15/2021

 

4.35

 

147,707

 

167,736

 

365,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 09/22 3.25

 

9/23/2022

 

3.25

 

363,472

 

375,870

 

200,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 09/22 3.25

 

9/23/2022

 

3.25

 

204,587

 

205,956

 

165,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 09/22 3.25

 

9/23/2022

 

3.25

 

164,110

 

169,914

 

690,000.00

 

JPMORGAN CHASE + CO SR UNSECURED 10/20 4.25

 

10/15/2020

 

4.25

 

750,856

 

767,368

 

195,000.00

 

KANSAS GAS + ELECTRIC CO 1ST MORTGAGE 144A 06/19 6.7

 

6/15/2019

 

6.7

 

197,310

 

248,222

 

425,000.00

 

KEY BANK NA SUBORDINATED 03/16 5.45

 

3/3/2016

 

5.45

 

460,517

 

475,096

 

400,000.00

 

KINDER MORGAN ENER PART SR UNSECURED 02/17 6.

 

2/1/2017

 

6

 

451,620

 

467,203

 

375,000.00

 

KINDER MORGAN ENER PART SR UNSECURED 09/20 5.3

 

9/15/2020

 

5.3

 

415,211

 

437,086

 

940,000.00

 

KOMMUNINVEST I SVERIGE LOCAL GOVT G 144A 10/17 1.

 

10/24/2017

 

1

 

935,667

 

939,060

 

200,000.00

 

KRAFT FOODS GROUP INC SR UNSECURED 144A 06/17 2.25

 

6/5/2017

 

2.25

 

199,634

 

206,863

 

275,000.00

 

KRAFT FOODS GROUP INC SR UNSECURED 144A 08/18 6.125

 

8/23/2018

 

6.125

 

339,751

 

336,909

 

225,000.00

 

LAB CORP OF AMER HLDGS SR UNSECURED 08/17 2.2

 

8/23/2017

 

2.2

 

224,534

 

230,950

 

350,521.37

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2003 C7 A3

 

9/15/2027

 

4.559

 

359,681

 

350,334

 

301,050.14

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2004 C6 A5

 

8/15/2029

 

4.826

 

311,822

 

307,441

 

1,000,000.00

 

LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2005 C7 A3

 

11/15/2030

 

5.455078

 

1,050,000

 

1,036,962

 

270,000.00

 

MACYS RETAIL HLDGS INC COMPANY GUAR 02/23 2.875

 

2/15/2023

 

2.875

 

269,627

 

264,393

 

775,000.00

 

MANULIFE FINANCIAL CORP SR UNSECURED 09/15 3.4

 

9/17/2015

 

3.4

 

773,869

 

814,922

 

510,000.00

 

MCDONALD S CORP SR UNSECURED 05/19 1.875

 

5/29/2019

 

1.875

 

505,130

 

518,941

 

400,000.00

 

MCKESSON CORP SR UNSECURED 03/21 4.75

 

3/1/2021

 

4.75

 

447,648

 

464,583

 

295,000.00

 

MEDCO HEALTH SOLUTIONS COMPANY GUAR 03/18 7.125

 

3/15/2018

 

7.125

 

353,333

 

367,716

 

500,000.00

 

MELLON FUNDING CORP COMPANY GUAR 05/14 VAR

 

5/15/2014

 

0.46

 

494,715

 

499,766

 

 

27



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

345,000.00

 

MERCK + CO INC SR UNSECURED 09/22 2.4

 

9/15/2022

 

2.4

 

$

344,879

 

$

345,113

 

225,000.00

 

MERRILL LYNCH + CO SR UNSECURED 08/17 6.4

 

8/28/2017

 

6.4

 

224,672

 

264,230

 

403,974.24

 

MERRILL LYNCH MORTGAGE TRUST MLMT 2005 CIP1 A2

 

7/12/2038

 

4.96

 

408,835

 

411,522

 

1,000,000.00

 

MET LIFE GLOB FUNDING I SR SECURED 144A 06/14 5.125

 

6/10/2014

 

5.125

 

1,044,820

 

1,063,100

 

500,000.00

 

METLIFE INC SR UNSECURED 02/21 4.75

 

2/8/2021

 

4.75

 

509,416

 

580,561

 

420,000.00

 

METLIFE INC SR UNSECURED 02/21 4.75

 

2/8/2021

 

4.75

 

424,535

 

487,671

 

750,000.00

 

METLIFE INSTITUTIONAL FD SECURED 144A 04/14 VAR

 

4/4/2014

 

1.254

 

754,500

 

756,373

 

215,000.00

 

MIDAMERICAN ENERGY CO SR UNSECURED 03/18 5.3

 

3/15/2018

 

5.3

 

250,587

 

256,954

 

825,000.00

 

MIDAMERICAN ENERGY HLDGS SR UNSECURED 04/18 5.75

 

4/1/2018

 

5.75

 

872,157

 

993,506

 

750,000.00

 

MONSANTO CO SR UNSECURED 04/16 2.75

 

4/15/2016

 

2.75

 

797,532

 

793,133

 

1,150,000.00

 

MORGAN STANLEY NOTES 04/18 6.625

 

4/1/2018

 

6.625

 

1,233,728

 

1,355,361

 

100,000.00

 

MORGAN STANLEY NOTES 07/20 5.5

 

7/24/2020

 

5.5

 

111,047

 

112,501

 

300,000.00

 

MORGAN STANLEY NOTES 08/17 6.25

 

8/28/2017

 

6.25

 

319,763

 

343,366

 

285,000.00

 

MORGAN STANLEY SR UNSECURED 07/21 5.5

 

7/28/2021

 

5.5

 

319,859

 

323,582

 

200,000.00

 

MORGAN STANLEY SR UNSECURED 07/21 5.5

 

7/28/2021

 

5.5

 

216,001

 

227,075

 

50,000.00

 

MORGAN STANLEY SR UNSECURED 07/21 5.5

 

7/28/2021

 

5.5

 

52,813

 

56,769

 

395,000.00

 

MORGAN STANLEY SR UNSECURED 09/19 5.625

 

9/23/2019

 

5.625

 

400,570

 

446,737

 

100,000.00

 

MYLAN INC COMPANY GUAR 144A 07/20 7.875

 

7/15/2020

 

7.875

 

118,188

 

118,176

 

620,000.00

 

NATIONAL BANK OF CANADA BANK GUARANT 06/15 1.5

 

6/26/2015

 

1.5

 

618,500

 

630,622

 

350,000.00

 

NATIONAL RURAL UTIL COOP COLLATERAL T 11/18 10.375

 

11/1/2018

 

10.375

 

499,454

 

517,376

 

355,000.00

 

NATL CITY BANK CLEV OH SUBORDINATED 06/17 5.8

 

6/7/2017

 

5.8

 

372,279

 

418,884

 

175,000.00

 

NBCUNIVERSAL MEDIA LLC COMPANY GUAR 04/21 4.375

 

4/1/2021

 

4.375

 

192,614

 

196,585

 

450,000.00

 

NBCUNIVERSAL MEDIA LLC COMPANY GUAR 04/21 4.375

 

4/1/2021

 

4.375

 

463,976

 

505,504

 

300,000.00

 

NBCUNIVERSAL MEDIA LLC COMPANY GUAR 04/21 4.375

 

4/1/2021

 

4.375

 

329,541

 

337,003

 

530,000.00

 

NCUA GUARANTEED NOTES NGN 2010 C1 A2

 

10/29/2020

 

2.9

 

525,225

 

564,962

 

1,893,007.27

 

NCUA GUARANTEED NOTES NGN 2010 C1 APT

 

10/29/2020

 

2.65

 

1,883,842

 

1,997,984

 

220,000.00

 

NCUA GUARANTEED NOTES US GOVT GUAR 06/15 1.4

 

6/12/2015

 

1.4

 

219,694

 

225,053

 

635,000.00

 

NCUA GUARANTEED NOTES US GOVT GUAR 06/17 2.35

 

6/12/2017

 

2.35

 

634,543

 

675,424

 

410,000.00

 

NCUA GUARANTEED NOTES US GOVT GUAR 06/19 3.

 

6/12/2019

 

3

 

409,565

 

452,177

 

1,120,000.00

 

NCUA GUARANTEED NOTES US GOVT GUAR 06/21 3.45

 

6/12/2021

 

3.45

 

1,115,968

 

1,257,682

 

325,000.00

 

NETAPP INC SR UNSECURED 12/17 2.

 

12/15/2017

 

2

 

323,356

 

323,842

 

200,000.00

 

NEVADA POWER CO GENL REF MOR 08/18 6.5

 

8/1/2018

 

6.5

 

234,570

 

251,289

 

580,000.00

 

NEW YORK LIFE GLOBAL FDG SECURED 144A 05/17 1.65

 

5/15/2017

 

1.65

 

578,962

 

590,671

 

810,000.00

 

NEW YORK LIFE GLOBAL FDG SECURED 144A 07/15 0.75

 

7/24/2015

 

0.75

 

809,279

 

808,955

 

175,000.00

 

NEWMARKET CORP COMPANY GUAR 144A 12/22 4.1

 

12/15/2022

 

4.1

 

174,703

 

178,065

 

240,000.00

 

NEWMONT MINING CORP COMPANY GUAR 03/22 3.5

 

3/15/2022

 

3.5

 

238,174

 

247,527

 

300,000.00

 

NEXTERA ENERGY CAPITAL COMPANY GUAR 06/14 1.611

 

6/1/2014

 

1.611

 

301,045

 

303,233

 

400,000.00

 

NORTHERN ROCK ASSET MANA COVERED 144A 06/17 5.625

 

6/22/2017

 

5.625

 

464,371

 

464,776

 

975,000.00

 

NOVARTIS CAPITAL CORP COMPANY GUAR 09/22 2.4

 

9/21/2022

 

2.4

 

972,911

 

977,630

 

150,000.00

 

NVR INC SR UNSECURED 09/22 3.95

 

9/15/2022

 

3.95

 

154,373

 

155,438

 

745,000.00

 

OEKB OEST. KONTROLLBANK GOVT GUARANT 02/16 4.875

 

2/16/2016

 

4.875

 

840,084

 

837,157

 

435,000.00

 

OGLETHORPE POWER CORP 1ST MORTGAGE 03/19 6.1

 

3/15/2019

 

6.1

 

523,048

 

525,906

 

295,000.00

 

ONCOR ELECTRIC DELIVERY SR SECURED 06/22 4.1

 

6/1/2022

 

4.1

 

294,466

 

321,530

 

310,000.00

 

ONCOR ELECTRIC DELIVERY SR SECURED 09/17 5.

 

9/30/2017

 

5

 

332,822

 

353,884

 

400,000.00

 

ONEOK PARTNERS LP COMPANY GUAR 03/19 8.625

 

3/1/2019

 

8.625

 

509,688

 

531,096

 

135,000.00

 

ORACLE CORP SR UNSECURED 04/18 5.75

 

4/15/2018

 

5.75

 

162,019

 

164,296

 

550,000.00

 

ORACLE CORP SR UNSECURED 10/17 1.2

 

10/15/2017

 

1.2

 

549,049

 

551,632

 

270,000.00

 

ORACLE CORP SR UNSECURED 10/22 2.5

 

10/15/2022

 

2.5

 

269,671

 

272,432

 

195,000.00

 

ORACLE CORP SR UNSECURED 10/22 2.5

 

10/15/2022

 

2.5

 

194,762

 

196,757

 

450,000.00

 

PACIFIC GAS + ELECTRIC SR UNSECURED 03/14 4.8

 

3/1/2014

 

4.8

 

479,930

 

471,504

 

100,000.00

 

PACIFICORP 1ST MORTGAGE 07/18 5.65

 

7/15/2018

 

5.65

 

118,660

 

122,159

 

255,000.00

 

PECO ENERGY CO 1ST MORTGAGE 09/22 2.375

 

9/15/2022

 

2.375

 

262,872

 

257,182

 

750,000.00

 

PENSKE TRUCK LEASING/PTL SR UNSECURED 144A 03/16 2.5

 

3/15/2016

 

2.5

 

748,890

 

752,021

 

115,000.00

 

PEPSICO INC SR UNSECURED 11/18 7.9

 

11/1/2018

 

7.9

 

153,568

 

155,187

 

200,000.00

 

PETRO CANADA SR UNSECURED 05/18 6.05

 

5/15/2018

 

6.05

 

233,306

 

243,223

 

270,000.00

 

PETROBRAS INTL FIN CO COMPANY GUAR 01/21 5.375

 

1/27/2021

 

5.375

 

281,289

 

303,971

 

 

28



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

400,000.00

 

PFIZER INC SR UNSECURED 03/19 6.2

 

3/15/2019

 

6.2

 

$

489,496

 

$

505,590

 

920,000.00

 

PFS FINANCING CORP PFSFC 2012 AA A 144A

 

2/15/2016

 

1.464

 

920,000

 

927,539

 

495,000.00

 

PHILIP MORRIS INTL INC SR UNSECURED 05/18 5.65

 

5/16/2018

 

5.65

 

560,406

 

600,131

 

300,000.00

 

PHILIP MORRIS INTL INC SR UNSECURED 08/17 1.125

 

8/21/2017

 

1.125

 

296,775

 

299,042

 

175,000.00

 

PHILIP MORRIS INTL INC SR UNSECURED 08/17 1.125

 

8/21/2017

 

1.125

 

173,119

 

174,441

 

165,000.00

 

PHILIP MORRIS INTL INC SR UNSECURED 08/22 2.5

 

8/22/2022

 

2.5

 

163,139

 

165,758

 

205,000.00

 

PNC FUNDING CORP BANK GUARANT 02/17 5.625

 

2/1/2017

 

5.625

 

224,197

 

236,689

 

90,000.00

 

PNC FUNDING CORP BANK GUARANT 11/15 5.25

 

11/15/2015

 

5.25

 

96,587

 

100,562

 

305,000.00

 

PRECISION CASTPARTS CORP SR UNSECURED 01/18 1.25

 

1/15/2018

 

1.25

 

304,536

 

305,504

 

175,000.00

 

PRECISION CASTPARTS CORP SR UNSECURED 01/18 1.25

 

1/15/2018

 

1.25

 

174,734

 

175,289

 

260,000.00

 

PRECISION CASTPARTS CORP SR UNSECURED 12/15 0.7

 

12/20/2015

 

0.7

 

259,922

 

260,221

 

90,000.00

 

PRINCIPAL FINANCIAL GROU COMPANY GUAR 11/17 1.85

 

11/15/2017

 

1.85

 

89,906

 

90,476

 

745,000.00

 

PRINCIPAL LIFE INC FDG SR SECURED 04/15 5.55

 

4/27/2015

 

5.55

 

827,710

 

823,311

 

725,000.00

 

PROGRESS ENERGY INC SR UNSECURED 01/16 5.625

 

1/15/2016

 

5.625

 

809,571

 

820,140

 

450,000.00

 

PROGRESS ENERGY INC SR UNSECURED 03/19 7.05

 

3/15/2019

 

7.05

 

511,533

 

565,544

 

625,000.00

 

PROGRESS ENERGY INC SR UNSECURED 03/19 7.05

 

3/15/2019

 

7.05

 

688,606

 

785,478

 

340,000.00

 

PROGRESS ENERGY INC SR UNSECURED 04/22 3.15

 

4/1/2022

 

3.15

 

338,745

 

344,191

 

250,000.00

 

PRUDENTIAL FINANCIAL INC SR UNSECURED 05/16 3.

 

5/12/2016

 

3

 

251,735

 

263,953

 

350,000.00

 

PRUDENTIAL FINANCIAL INC SR UNSECURED 06/17 6.1

 

6/15/2017

 

6.1

 

376,842

 

412,831

 

1,005,000.00

 

PSEG POWER LLC COMPANY GUAR 04/13 2.5

 

4/15/2013

 

2.5

 

1,003,884

 

1,010,800

 

95,000.00

 

PSEG POWER LLC COMPANY GUAR 09/16 2.75

 

9/15/2016

 

2.75

 

94,759

 

98,853

 

205,000.00

 

PUBLIC SERVICE COLORADO 1ST MORTGAGE 06/19 5.125

 

6/1/2019

 

5.125

 

242,755

 

246,838

 

270,000.00

 

QUEST DIAGNOSTIC INC COMPANY GUAR 07/17 6.4

 

7/1/2017

 

6.4

 

319,121

 

318,073

 

305,000.00

 

RABOBANK NEDERLAND BANK GUARANT 11/22 3.95

 

11/9/2022

 

3.95

 

304,600

 

312,330

 

250,000.00

 

REINSURANCE GRP OF AMER SR UNSECURED 03/17 5.625

 

3/15/2017

 

5.625

 

247,718

 

282,383

 

195,000.00

 

REPUBLIC SERVICES INC COMPANY GUAR 05/18 3.8

 

5/15/2018

 

3.8

 

204,239

 

214,380

 

410,000.00

 

REPUBLIC SERVICES INC COMPANY GUAR 09/19 5.5

 

9/15/2019

 

5.5

 

480,797

 

485,540

 

170,000.00

 

REYNOLDS AMERICAN INC COMPANY GUAR 10/15 1.05

 

10/30/2015

 

1.05

 

169,760

 

169,947

 

145,000.00

 

RIO TINTO FIN USA LTD COMPANY GUAR 09/21 3.75

 

9/20/2021

 

3.75

 

153,493

 

155,048

 

600,000.00

 

RIO TINTO FIN USA PLC COMPANY GUAR 08/22 2.875

 

8/21/2022

 

2.875

 

592,128

 

603,967

 

155,000.00

 

ROCHE HLDGS INC COMPANY GUAR 144A 03/14 5.

 

3/1/2014

 

5

 

170,675

 

162,821

 

410,000.00

 

ROSNEFT(ROSNEFT INT FIN) SR UNSECURED 144A 03/22 4.199

 

3/6/2022

 

4.199

 

412,500

 

417,175

 

500,000.00

 

ROYAL BANK OF CANADA SR UNSECURED 07/16 2.3

 

7/20/2016

 

2.3

 

523,515

 

521,065

 

750,000.00

 

ROYAL BANK OF CANADA SR UNSECURED 10/14 VAR

 

10/30/2014

 

1.01325

 

752,243

 

756,881

 

400,000.00

 

ROYAL BK SCOTLND GRP PLC SR UNSECURED 09/15 2.55

 

9/18/2015

 

2.55

 

399,772

 

409,364

 

215,000.00

 

RPM INTERNATIONAL INC SR UNSECURED 11/22 3.45

 

11/15/2022

 

3.45

 

214,723

 

210,648

 

240,000.00

 

SAFRA NATIONAL BANK CERT OF DEPO 08/17 1.25

 

8/15/2017

 

1.25

 

240,000

 

239,822

 

240,000.00

 

SALLIE MAE BANK/MURRAY CERT OF DEPO 12/14 1.4

 

12/1/2014

 

1.4

 

240,000

 

242,274

 

575,000.00

 

SAN DIEGO G + E 1ST MORTGAGE 08/21 3.

 

8/15/2021

 

3

 

572,050

 

608,785

 

1,000,000.00

 

SAN DIEGO GAS + ELECTRIC 1ST MORTGAGE 11/15 5.3

 

11/15/2015

 

5.3

 

1,151,790

 

1,130,592

 

1,140,000.00

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 3 A3

 

4/15/2015

 

1.23

 

1,139,873

 

1,145,642

 

476,377.19

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2011 4 A2

 

3/16/2015

 

1.37

 

476,367

 

478,011

 

840,392.02

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 3 A2

 

4/15/2015

 

0.83

 

840,374

 

842,114

 

905,000.00

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 3 A3

 

4/15/2016

 

1.08

 

904,975

 

911,087

 

1,020,000.00

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 4 A2

 

8/17/2015

 

0.79

 

1,019,935

 

1,022,068

 

785,000.00

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 AA A2 144A

 

2/16/2016

 

0.55

 

784,951

 

785,123

 

540,000.00

 

SANTANDER DRIVE AUTO RECEIVABL SDART 2012 AA A3 144A

 

3/15/2017

 

0.65

 

539,928

 

540,078

 

200,000.00

 

SANTANDER HOLDINGS USA SR UNSECURED 04/16 4.625

 

4/19/2016

 

4.625

 

192,094

 

209,098

 

175,000.00

 

SANTANDER HOLDINGS USA SR UNSECURED 09/15 3.

 

9/24/2015

 

3

 

174,487

 

178,209

 

831,342.18

 

SBA POOL 507686 SBA 10/30 VARIABLE

 

10/25/2030

 

2

 

874,728

 

890,724

 

691,068.90

 

SBA POOL 508005 SBA 01/19 VARIABLE

 

1/25/2019

 

3.08

 

729,078

 

726,628

 

327,339.49

 

SBA POOL 508109 SBA 04/19 VARIABLE

 

4/25/2019

 

3.575

 

351,890

 

351,896

 

1,000,997.08

 

SBA POOL 508327 SBA 09/16 VARIABLE

 

9/25/2016

 

4.33

 

1,062,621

 

1,038,583

 

304,892.49

 

SBA POOL 508346 SBA 04/19 VARIABLE

 

4/25/2019

 

2.575

 

316,707

 

317,355

 

364,293.63

 

SBA POOL 508349 SBA 12/19 VARIABLE

 

12/25/2019

 

3.575

 

391,729

 

388,645

 

552,302.74

 

SBA POOL 508413 SBA 11/19 VARIABLE

 

11/25/2019

 

3.545

 

595,106

 

591,127

 

 

29



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

642,304.24

 

SBA POOL 508531 SBA 02/19 VARIABLE

 

2/25/2019

 

4.325

 

$

699,710

 

$

692,625

 

1,007,805.37

 

SBA POOL 508947 SBA 08/22 VARIABLE

 

8/25/2022

 

3

 

1,077,722

 

1,084,165

 

450,000.00

 

SCHLUMBERGER INVESTMENT COMPANY GUAR 144A 09/21 3.3

 

9/14/2021

 

3.3

 

453,867

 

479,206

 

1,000,000.00

 

SCHLUMBERGER NORGE AS COMPANY GUAR 144A 09/16 1.95

 

9/14/2016

 

1.95

 

1,015,150

 

1,026,451

 

355,000.00

 

SCHNEIDER ELECTRIC SA SR UNSECURED 144A 09/22 2.95

 

9/27/2022

 

2.95

 

354,056

 

357,805

 

618,667.96

 

SCHOLAR FUNDING TRUST SCHOL 2011 A A 144A

 

10/28/2043

 

1.21325

 

606,458

 

617,906

 

550,000.00

 

SCRIPPS NETWORKS INTERAC SR UNSECURED 12/16 2.7

 

12/15/2016

 

2.7

 

547,003

 

575,952

 

450,000.00

 

SEMPRA ENERGY SR UNSECURED 03/14 2.

 

3/15/2014

 

2

 

457,920

 

456,809

 

200,000.00

 

SHELL INTERNATIONAL FIN COMPANY GUAR 01/23 2.25

 

1/6/2023

 

2.25

 

197,980

 

197,587

 

1,000,000.00

 

SHERWIN WILLIAMS CO SR UNSECURED 12/14 3.125

 

12/15/2014

 

3.125

 

1,058,360

 

1,046,663

 

240,000.00

 

SILVERGATE BANK CERT OF DEPO 05/17 0.9

 

5/26/2017

 

0.9

 

240,000

 

239,601

 

350,000.00

 

SIMON PROPERTY GROUP LP SR UNSECURED 02/20 5.65

 

2/1/2020

 

5.65

 

348,674

 

420,005

 

350,000.00

 

SIMON PROPERTY GROUP LP SR UNSECURED 12/21 4.125

 

12/1/2021

 

4.125

 

358,775

 

388,712

 

850,000.00

 

SLM STUDENT LOAN TRUST SLMA 2008 5 A4

 

7/25/2023

 

2.01525

 

895,156

 

897,093

 

861,427.93

 

SLM STUDENT LOAN TRUST SLMA 2010 1 A

 

3/25/2025

 

0.6097

 

861,428

 

862,897

 

615,905.16

 

SLM STUDENT LOAN TRUST SLMA 2012 2 A

 

1/25/2029

 

0.99275

 

615,905

 

623,863

 

721,673.23

 

SLM STUDENT LOAN TRUST SLMA 2012 A A1 144A

 

8/15/2025

 

1.609

 

721,673

 

731,401

 

850,000.00

 

SLM STUDENT LOAN TRUST SLMA 2012 B A2 144A

 

10/15/2030

 

3.48

 

849,913

 

906,848

 

715,160.38

 

SLM STUDENT LOAN TRUST SLMA 2012 D A1 144A

 

6/15/2023

 

1.3

 

715,160

 

720,525

 

752,208.97

 

SLM STUDENT LOAN TRUST SLMA 2012 E A1 144A

 

10/16/2023

 

0.959

 

752,209

 

754,960

 

62,428.07

 

SMALL BUSINESS ADMINISTRATION SBAP 1998 20F 1

 

6/1/2018

 

6.3

 

62,697

 

68,336

 

111,736.44

 

SMALL BUSINESS ADMINISTRATION SBIC 2004 P10B 1

 

8/10/2014

 

4.754

 

111,736

 

114,618

 

800,000.00

 

SOUTHERN CO SR UNSECURED 09/16 1.95

 

9/1/2016

 

1.95

 

798,784

 

824,447

 

175,000.00

 

SOUTHWESTERN BELL TEL CO COMPANY GUAR 07/15 7.

 

7/1/2015

 

7

 

206,785

 

201,034

 

240,000.00

 

SOVEREIGN BANK CERT OF DEPO 09/14 0.8

 

9/5/2014

 

0.8

 

240,000

 

240,351

 

343,426.34

 

SOVEREIGN COMMERCIAL MORTGAGE SOVC 2007 C1 A2 144A

 

7/22/2030

 

5.981728

 

355,269

 

348,455

 

1,300,000.00

 

SPAREBANK 1 BOLIGKREDITT COVERED 144A 05/17 2.625

 

5/26/2017

 

2.625

 

1,374,962

 

1,371,429

 

337,000.00

 

SPAREBANK 1 BOLIGKREDITT COVERED 144A 06/18 2.3

 

6/30/2018

 

2.3

 

336,178

 

351,693

 

1,000,000.00

 

SPAREBANK 1 BOLIGKREDITT COVERED 144A 11/20 1.75

 

11/15/2019

 

1.75

 

992,230

 

987,800

 

240,000.00

 

STATE BANK OF INDIA CERT OF DEPO 06/16 2.15

 

6/28/2016

 

2.15

 

244,087

 

247,762

 

485,000.00

 

STATOIL ASA COMPANY GUAR 04/19 5.25

 

4/15/2019

 

5.25

 

538,507

 

581,550

 

580,000.00

 

STHRN CALIFORNIA ST PUBLIC PWR STNPWR 05/17 FIXED 6.93

 

5/15/2017

 

6.93

 

708,186

 

717,390

 

300,000.00

 

STRIP PRINC 05/21 0.00000

 

5/15/2021

 

0.01

 

174,837

 

264,455

 

1,170,000.00

 

STRIPS 05/22 0.00000

 

5/15/2022

 

0.01

 

936,304

 

992,339

 

390,000.00

 

STRIPS 08/22 0.00000

 

8/15/2022

 

0.01

 

307,999

 

327,841

 

240,000.00

 

SUNTRUST BANK CERT OF DEPO 05/14 VAR

 

5/28/2014

 

1.3115

 

245,791

 

237,507

 

400,000.00

 

SVB FINANCIAL GROUP SR UNSECURED 09/20 5.375

 

9/15/2020

 

5.375

 

397,200

 

448,898

 

310,000.00

 

SWISS RE SOLUTIONS SR UNSECURED 03/19 6.45

 

3/1/2019

 

6.45

 

328,756

 

361,092

 

625,000.00

 

TAKEDA PHARMACEUTICAL SR UNSECURED 144A 03/15 1.031

 

3/17/2015

 

1.031

 

625,000

 

627,476

 

205,000.00

 

TCI COMMUNICATIONS INC SR UNSECURED 08/15 8.75

 

8/1/2015

 

8.75

 

263,310

 

244,625

 

425,000.00

 

TECH DATA CORP SR UNSECURED 09/17 3.75

 

9/21/2017

 

3.75

 

433,483

 

435,968

 

100,000.00

 

TELEFONICA EMISIONES SAU COMPANY GUAR 02/21 5.462

 

2/16/2021

 

5.462

 

98,625

 

106,625

 

900,000.00

 

TEVA PHARM FIN IV BV COMPANY GUAR 11/21 3.65

 

11/10/2021

 

3.65

 

887,409

 

963,209

 

900,000.00

 

TEVA PHARMA FIN II/III COMPANY GUAR 06/15 3.

 

6/15/2015

 

3

 

934,911

 

946,230

 

715,000.00

 

TEVA PHARMA FIN IV LLC COMPANY GUAR 03/20 2.25

 

3/18/2020

 

2.25

 

714,678

 

721,381

 

425,000.00

 

THERMO FISHER SCIENTIFIC SR UNSECURED 08/21 3.6

 

8/15/2021

 

3.6

 

444,605

 

452,000

 

75,000.00

 

THERMO FISHER SCIENTIFIC SR UNSECURED 08/21 3.6

 

8/15/2021

 

3.6

 

79,570

 

79,765

 

990,000.00

 

TIME WARNER CABLE INC COMPANY GUAR 07/13 6.2

 

7/1/2013

 

6.2

 

1,034,365

 

1,017,175

 

575,000.00

 

TIME WARNER CABLE INC COMPANY GUAR 07/18 6.75

 

7/1/2018

 

6.75

 

676,172

 

718,280

 

180,000.00

 

TIME WARNER INC COMPANY GUAR 06/22 3.4

 

6/15/2022

 

3.4

 

179,743

 

187,754

 

340,000.00

 

TORCHMARK CORP SR UNSECURED 09/22 3.8

 

9/15/2022

 

3.8

 

338,997

 

348,430

 

315,000.00

 

TOTAL CAPITAL INTL SA COMPANY GUAR 01/23 2.7

 

1/25/2023

 

2.7

 

323,275

 

320,899

 

650,000.00

 

TOTAL CAPITAL INTL SA COMPANY GUAR 02/22 2.875

 

2/17/2022

 

2.875

 

633,861

 

678,484

 

800,000.00

 

TOYOTA MOTOR CREDIT CORP SR UNSECURED 01/14 VAR

 

1/15/2014

 

0.59025

 

793,432

 

801,482

 

110,000.00

 

TOYOTA MOTOR CREDIT CORP SR UNSECURED 06/15 3.2

 

6/17/2015

 

3.2

 

112,796

 

116,645

 

515,000.00

 

TOYOTA MOTOR CREDIT CORP SR UNSECURED 10/17 1.25

 

10/5/2017

 

1.25

 

514,701

 

518,663

 

 

30



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

240,000.00

 

TRANS CANADA PIPELINES SR UNSECURED 08/22 2.5

 

8/1/2022

 

2.5

 

$

241,646

 

$

240,486

 

105,000.00

 

TRANSALTA CORP SR UNSECURED 11/22 4.5

 

11/15/2022

 

4.5

 

103,179

 

106,448

 

225,000.00

 

TRANSATLANTIC HOLDINGS SR UNSECURED 12/15 5.75

 

12/14/2015

 

5.75

 

240,368

 

248,602

 

175,000.00

 

TRANSOCEAN INC COMPANY GUAR 03/18 6.

 

3/15/2018

 

6

 

189,028

 

202,963

 

175,000.00

 

TREASURY BILL 02/13 0.00000

 

2/21/2013

 

0.01

 

174,962

 

174,993

 

121,151.00

 

TSY INFL IX N/B 01/15 1.625

 

1/15/2015

 

1.625

 

131,543

 

128,713

 

1,548,888.36

 

TSY INFL IX N/B 02/42 0.75

 

2/15/2042

 

0.75

 

1,730,143

 

1,696,395

 

145,000.00

 

TURNER BROADCASTING COMPANY GUAR 07/13 8.375

 

7/1/2013

 

8.375

 

133,400

 

150,520

 

1,716,000.00

 

TVA PRIN STRIP BONDS 11/25 0.00000

 

11/1/2025

 

0.01

 

1,085,037

 

1,158,372

 

375,000.00

 

UBS AG STAMFORD CT SR UNSECURED 04/18 5.75

 

4/25/2018

 

5.75

 

425,749

 

445,179

 

200,000.00

 

UDR INC COMPANY GUAR 06/18 4.25

 

6/1/2018

 

4.25

 

197,976

 

217,967

 

625,000.00

 

UNION BANK NA SR UNSECURED 06/16 3.

 

6/6/2016

 

3

 

626,181

 

661,641

 

275,000.00

 

UNION BANK NA SR UNSECURED 06/17 2.125

 

6/16/2017

 

2.125

 

274,172

 

282,783

 

150,000.00

 

UNION ELECTRIC CO SR SECURED 02/19 6.7

 

2/1/2019

 

6.7

 

184,199

 

189,214

 

245,000.00

 

UNION PACIFIC CORP SR UNSECURED 02/20 6.125

 

2/15/2020

 

6.125

 

296,448

 

306,810

 

540,000.00

 

UNITED TECHNOLOGIES CORP SR UNSECURED 06/15 1.2

 

6/1/2015

 

1.2

 

539,698

 

547,731

 

850,000.00

 

UNITED TECHNOLOGIES CORP SR UNSECURED 06/22 3.1

 

6/1/2022

 

3.1

 

889,694

 

900,140

 

850,000.00

 

UNITED TECHNOLOGIES CORP SR UNSECURED 12/17 5.375

 

12/15/2017

 

5.375

 

1,025,406

 

1,010,317

 

1,000,000.00

 

UNITEDHEALTH GROUP INC SR UNSECURED 02/14 4.75

 

2/10/2014

 

4.75

 

1,074,820

 

1,042,585

 

390,000.00

 

UNITEDHEALTH GROUP INC SR UNSECURED 03/22 2.875

 

3/15/2022

 

2.875

 

387,309

 

399,895

 

650,000.00

 

UNITEDHEALTH GROUP INC SR UNSECURED 03/22 2.875

 

3/15/2022

 

2.875

 

631,040

 

666,492

 

110,000.00

 

UNITEDHEALTH GROUP INC SR UNSECURED 11/21 3.375

 

11/15/2021

 

3.375

 

109,416

 

117,191

 

400,000.00

 

US TREASURY N/B 01/14 0.25

 

1/31/2014

 

0.25

 

399,750

 

400,250

 

1,030,000.00

 

US TREASURY N/B 01/14 1.75

 

1/31/2014

 

1.75

 

1,026,818

 

1,047,180

 

4,805,000.00

 

US TREASURY N/B 02/14 0.25

 

2/28/2014

 

0.25

 

4,800,766

 

4,807,628

 

5,870,000.00

 

US TREASURY N/B 02/14 1.25

 

2/15/2014

 

1.25

 

5,978,228

 

5,938,104

 

1,680,000.00

 

US TREASURY N/B 02/19 2.75

 

2/15/2019

 

2.75

 

1,870,478

 

1,860,207

 

445,000.00

 

US TREASURY N/B 02/21 3.625

 

2/15/2021

 

3.625

 

518,237

 

522,353

 

300,000.00

 

US TREASURY N/B 02/42 3.125

 

2/15/2042

 

3.125

 

316,371

 

313,688

 

300,000.00

 

US TREASURY N/B 03/14 0.25

 

3/31/2014

 

0.25

 

299,918

 

300,141

 

700,000.00

 

US TREASURY N/B 03/14 1.25

 

3/15/2014

 

1.25

 

714,629

 

708,695

 

4,550,000.00

 

US TREASURY N/B 03/15 0.375

 

3/15/2015

 

0.375

 

4,541,477

 

4,559,241

 

3,255,000.00

 

US TREASURY N/B 03/16 2.375

 

3/31/2016

 

2.375

 

3,480,615

 

3,460,472

 

3,445,000.00

 

US TREASURY N/B 03/19 1.5

 

3/31/2019

 

1.5

 

3,531,470

 

3,553,194

 

1,160,000.00

 

US TREASURY N/B 04/14 0.25

 

4/30/2014

 

0.25

 

1,160,227

 

1,160,499

 

1,265,000.00

 

US TREASURY N/B 04/15 0.375

 

4/15/2015

 

0.375

 

1,267,619

 

1,267,273

 

2,215,000.00

 

US TREASURY N/B 05/15 0.25

 

5/15/2015

 

0.25

 

2,210,414

 

2,212,231

 

585,000.00

 

US TREASURY N/B 05/17 2.75

 

5/31/2017

 

2.75

 

626,686

 

639,569

 

1,280,000.00

 

US TREASURY N/B 05/17 4.5

 

5/15/2017

 

4.5

 

1,516,983

 

1,494,900

 

670,000.00

 

US TREASURY N/B 05/18 2.375

 

5/31/2018

 

2.375

 

713,629

 

725,903

 

245,000.00

 

US TREASURY N/B 05/18 3.875

 

5/15/2018

 

3.875

 

257,671

 

284,717

 

2,705,000.00

 

US TREASURY N/B 05/19 1.125

 

5/31/2019

 

1.125

 

2,725,408

 

2,722,117

 

4,320,000.00

 

US TREASURY N/B 05/20 3.5

 

5/15/2020

 

3.5

 

4,617,649

 

5,015,589

 

4,835,000.00

 

US TREASURY N/B 06/14 0.75

 

6/15/2014

 

0.75

 

4,882,277

 

4,872,582

 

3,585,000.00

 

US TREASURY N/B 06/15 0.375

 

6/15/2015

 

0.375

 

3,581,207

 

3,590,600

 

3,595,000.00

 

US TREASURY N/B 06/16 1.5

 

6/30/2016

 

1.5

 

3,731,461

 

3,726,440

 

365,000.00

 

US TREASURY N/B 06/17 0.75

 

6/30/2017

 

0.75

 

367,363

 

367,167

 

1,160,000.00

 

US TREASURY N/B 06/18 2.375

 

6/30/2018

 

2.375

 

1,247,162

 

1,257,150

 

950,000.00

 

US TREASURY N/B 06/19 1.

 

6/30/2019

 

1

 

947,657

 

947,179

 

1,460,000.00

 

US TREASURY N/B 07/14 0.625

 

7/15/2014

 

0.625

 

1,467,243

 

1,468,954

 

4,705,000.00

 

US TREASURY N/B 07/16 1.5

 

7/31/2016

 

1.5

 

4,860,390

 

4,878,497

 

990,000.00

 

US TREASURY N/B 08/13 0.75

 

8/15/2013

 

0.75

 

994,586

 

993,713

 

12,030,000.00

 

US TREASURY N/B 08/14 0.25

 

8/31/2014

 

0.25

 

12,025,499

 

12,033,284

 

120,000.00

 

US TREASURY N/B 08/14 0.25

 

8/31/2014

 

0.25

 

120,005

 

120,033

 

4,270,000.00

 

US TREASURY N/B 08/14 0.5

 

8/15/2014

 

0.5

 

4,285,434

 

4,288,681

 

1,635,000.00

 

US TREASURY N/B 08/14 2.375

 

8/31/2014

 

2.375

 

1,723,518

 

1,692,864

 

 

31



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

18,270,000.00

 

US TREASURY N/B 08/15 0.25

 

8/15/2015

 

0.25

 

$

18,212,308

 

$

18,237,169

 

2,845,000.00

 

US TREASURY N/B 08/16 1.

 

8/31/2016

 

1

 

2,879,001

 

2,899,231

 

785,000.00

 

US TREASURY N/B 08/17 8.875

 

8/15/2017

 

8.875

 

1,110,902

 

1,079,620

 

2,915,000.00

 

US TREASURY N/B 08/19 1.

 

8/31/2019

 

1

 

2,888,492

 

2,897,921

 

855,000.00

 

US TREASURY N/B 08/20 2.625

 

8/15/2020

 

2.625

 

940,124

 

938,897

 

1,979,000.00

 

US TREASURY N/B 08/42 2.75

 

8/15/2042

 

2.75

 

1,948,399

 

1,910,972

 

635,000.00

 

US TREASURY N/B 09/13 0.125

 

9/30/2013

 

0.125

 

634,555

 

634,827

 

900,000.00

 

US TREASURY N/B 09/13 0.75

 

9/15/2013

 

0.75

 

904,573

 

903,762

 

3,050,000.00

 

US TREASURY N/B 09/14 0.25

 

9/30/2014

 

0.25

 

3,049,337

 

3,050,714

 

13,200,000.00

 

US TREASURY N/B 09/14 0.25

 

9/30/2014

 

0.25

 

13,203,654

 

13,203,089

 

240,000.00

 

US TREASURY N/B 09/14 0.25

 

9/15/2014

 

0.25

 

239,738

 

240,056

 

795,000.00

 

US TREASURY N/B 09/17 1.875

 

9/30/2017

 

1.875

 

838,725

 

839,471

 

1,930,000.00

 

US TREASURY N/B 09/18 1.375

 

9/30/2018

 

1.375

 

1,981,895

 

1,983,980

 

7,035,000.00

 

US TREASURY N/B 10/13 0.25

 

10/31/2013

 

0.25

 

7,036,112

 

7,039,397

 

1,000,000.00

 

US TREASURY N/B 10/13 2.75

 

10/31/2013

 

2.75

 

1,047,656

 

1,021,211

 

3,100,000.00

 

US TREASURY N/B 10/14 0.25

 

10/31/2014

 

0.25

 

3,099,647

 

3,100,725

 

870,000.00

 

US TREASURY N/B 10/14 2.375

 

10/31/2014

 

2.375

 

915,293

 

903,509

 

5,595,000.00

 

US TREASURY N/B 10/15 1.25

 

10/31/2015

 

1.25

 

5,743,770

 

5,737,063

 

235,000.00

 

US TREASURY N/B 11/13 0.25

 

11/30/2013

 

0.25

 

234,946

 

235,138

 

20,610,000.00

 

US TREASURY N/B 11/14 0.25

 

11/30/2014

 

0.25

 

20,604,769

 

20,610,804

 

22,900,000.00

 

US TREASURY N/B 11/14 0.375

 

11/15/2014

 

0.375

 

22,904,995

 

22,953,678

 

940,000.00

 

US TREASURY N/B 11/14 0.375

 

11/15/2014

 

0.375

 

939,296

 

942,203

 

1,910,000.00

 

US TREASURY N/B 11/14 2.125

 

11/30/2014

 

2.125

 

2,009,305

 

1,977,746

 

9,115,000.00

 

US TREASURY N/B 11/15 0.375

 

11/15/2015

 

0.375

 

9,128,055

 

9,123,550

 

800,000.00

 

US TREASURY N/B 11/15 1.375

 

11/30/2015

 

1.375

 

826,000

 

823,500

 

17,700,000.00

 

US TREASURY N/B 11/16 0.875

 

11/30/2016

 

0.875

 

17,704,416

 

17,950,296

 

700,000.00

 

US TREASURY N/B 11/16 4.625

 

11/15/2016

 

4.625

 

813,883

 

810,032

 

19,060,000.00

 

US TREASURY N/B 11/17 0.625

 

11/30/2017

 

0.625

 

19,059,168

 

18,995,977

 

700,000.00

 

US TREASURY N/B 11/17 0.625

 

11/30/2017

 

0.625

 

699,971

 

697,649

 

895,000.00

 

US TREASURY N/B 11/17 4.25

 

11/15/2017

 

4.25

 

1,058,444

 

1,047,990

 

1,925,000.00

 

US TREASURY N/B 11/18 3.75

 

11/15/2018

 

3.75

 

2,103,791

 

2,241,572

 

5,145,000.00

 

US TREASURY N/B 11/19 1.

 

11/30/2019

 

1

 

5,102,285

 

5,095,155

 

1,520,000.00

 

US TREASURY N/B 11/21 2.

 

11/15/2021

 

2

 

1,594,575

 

1,577,594

 

1,480,000.00

 

US TREASURY N/B 11/22 1.625

 

11/15/2022

 

1.625

 

1,473,057

 

1,463,812

 

1,020,000.00

 

US TREASURY N/B 11/22 1.625

 

11/15/2022

 

1.625

 

1,019,370

 

1,008,843

 

115,000.00

 

US TREASURY N/B 11/26 6.5

 

11/15/2026

 

6.5

 

168,834

 

174,638

 

2,560,000.00

 

US TREASURY N/B 11/42 2.75

 

11/15/2042

 

2.75

 

2,495,632

 

2,466,401

 

100,000.00

 

US TREASURY N/B 11/42 2.75

 

11/15/2042

 

2.75

 

96,680

 

96,344

 

17,500,000.00

 

US TREASURY N/B 12/13 0.125

 

12/31/2013

 

0.125

 

17,456,172

 

17,489,063

 

565,000.00

 

US TREASURY N/B 12/13 0.125

 

12/31/2013

 

0.125

 

564,044

 

564,647

 

3,200,000.00

 

US TREASURY N/B 12/13 0.75

 

12/15/2013

 

0.75

 

3,231,250

 

3,216,998

 

6,000,000.00

 

US TREASURY N/B 12/14 0.25

 

12/15/2014

 

0.25

 

5,977,542

 

6,000,000

 

2,445,000.00

 

US TREASURY N/B 12/15 0.25

 

12/15/2015

 

0.25

 

2,437,845

 

2,437,741

 

1,380,000.00

 

US TREASURY N/B 12/15 2.125

 

12/31/2015

 

2.125

 

1,389,451

 

1,452,127

 

400,000.00

 

US TREASURY N/B 12/17 0.75

 

12/31/2017

 

0.625

 

399,628

 

400,656

 

300,000.00

 

US TREASURY N/B 12/19 1.125

 

12/31/2019

 

1.125

 

297,834

 

299,156

 

500,000.00

 

VALE OVERSEAS LIMITED COMPANY GUAR 09/20 4.625

 

9/15/2020

 

4.625

 

513,750

 

540,251

 

235,000.00

 

VERIZON COMMUNICATIONS SR UNSECURED 03/14 1.95

 

3/28/2014

 

1.95

 

234,687

 

239,249

 

1,000,000.00

 

VERIZON COMMUNICATIONS SR UNSECURED 03/14 VAR

 

3/28/2014

 

0.97225

 

1,005,360

 

1,005,916

 

460,000.00

 

VERIZON COMMUNICATIONS SR UNSECURED 11/21 3.5

 

11/1/2021

 

3.5

 

466,389

 

503,247

 

780,000.00

 

VIACOM INC SR UNSECURED 06/22 3.125

 

6/15/2022

 

3.125

 

803,557

 

798,564

 

245,000.00

 

VIRGINIA ELEC + POWER CO SR UNSECURED 09/17 5.95

 

9/15/2017

 

5.95

 

283,120

 

299,329

 

160,000.00

 

VODAFONE GROUP PLC SR UNSECURED 01/15 5.375

 

1/30/2015

 

5.375

 

176,648

 

175,029

 

865,000.00

 

VODAFONE GROUP PLC SR UNSECURED 06/14 4.15

 

6/10/2014

 

4.15

 

864,420

 

907,552

 

460,000.00

 

VODAFONE GROUP PLC SR UNSECURED 09/17 1.25

 

9/26/2017

 

1.25

 

458,579

 

458,610

 

175,000.00

 

VODAFONE GROUP PLC SR UNSECURED 09/17 1.25

 

9/26/2017

 

1.25

 

175,765

 

174,471

 

 

32



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Fixed income securities (continued)

 

 

 

 

 

 

 

 

 

300,000.00

 

VOLKSWAGEN INTL FIN NV COMPANY GUAR 144A 11/15 1.15

 

11/20/2015

 

1.15

 

$

299,682

 

$

300,415

 

495,000.00

 

WACHOVIA CORP SR UNSECURED 02/18 5.75

 

2/1/2018

 

5.75

 

564,666

 

593,031

 

800,000.00

 

WACHOVIA CORP SR UNSECURED 06/17 VAR

 

6/15/2017

 

0.578

 

784,336

 

781,194

 

460,000.00

 

WALGREEN CO SR UNSECURED 09/17 1.8

 

9/15/2017

 

1.8

 

459,034

 

462,564

 

250,000.00

 

WALGREEN CO SR UNSECURED 09/22 3.1

 

9/15/2022

 

3.1

 

252,100

 

252,168

 

400,000.00

 

WALT DISNEY COMPANY/THE SR UNSECURED 08/21 2.75

 

8/16/2021

 

2.75

 

404,028

 

417,630

 

310,000.00

 

WALT DISNEY COMPANY/THE SR UNSECURED 12/17 1.1

 

12/1/2017

 

1.1

 

307,796

 

310,650

 

190,000.00

 

WALT DISNEY COMPANY/THE SR UNSECURED 12/22 2.35

 

12/1/2022

 

2.35

 

188,541

 

191,745

 

4,339.90

 

WASHINGTON MUTUAL MSC MORTGAGE WAMMS 2003 AR1 1A

 

2/25/2033

 

2.6

 

4,412

 

4,314

 

480,000.00

 

WASTE MANAGEMENT INC COMPANY GUAR 09/22 2.9

 

9/15/2022

 

2.9

 

478,469

 

474,936

 

285,000.00

 

WEATHERFORD BERMUDA COMPANY GUAR 03/19 9.625

 

3/1/2019

 

9.625

 

370,306

 

371,821

 

530,000.00

 

WELLPOINT INC SR UNSECURED 01/23 3.3

 

1/15/2023

 

3.3

 

543,455

 

543,783

 

280,000.00

 

WELLPOINT INC SR UNSECURED 08/21 3.7

 

8/15/2021

 

3.7

 

285,628

 

294,493

 

380,000.00

 

WELLPOINT INC SR UNSECURED 09/15 1.25

 

9/10/2015

 

1.25

 

379,844

 

383,005

 

245,000.00

 

WELLS FARGO + COMPANY SR UNSECURED 01/18 1 . 5

 

1/16/2018

 

1.5

 

244,559

 

245,402

 

415,000.00

 

WELLS FARGO + COMPANY SR UNSECURED 03/22 3 . 5

 

3/8/2022

 

3.5

 

416,651

 

442,661

 

350,000.00

 

WELLS FARGO + COMPANY SR UNSECURED 03/22 3 . 5

 

3/8/2022

 

3.5

 

370,003

 

373,328

 

725,000.00

 

WELLS FARGO + COMPANY SR UNSECURED 04/21 4 . 6

 

4/1/2021

 

4.6

 

778,563

 

833,925

 

900,000.00

 

WELLS FARGO + COMPANY SR UNSECURED 06/15 VAR

 

6/26/2015

 

1.23

 

903,285

 

908,503

 

240,000.00

 

WELLS FARGO BANK NA CERT OF DEPO 04/17 VAR

 

4/19/2017

 

1

 

240,000

 

242,015

 

700,000.00

 

WELLS FARGO BANK NA SUBORDINATED 05/16 VAR

 

5/16/2016

 

0.52

 

654,997

 

685,119

 

300,000.00

 

WILLIAMS COMPANIES INC SR UNSECURED 01/23 3.7

 

1/15/2023

 

3.7

 

299,166

 

302,596

 

495,000.00

 

WORLD FINANCIAL NETWORK CREDIT WFNMT 2012 D A

 

4/17/2023

 

2.15

 

494,745

 

502,623

 

595,000.00

 

XSTRATA FINANCE CANADA COMPANY GUAR 144A 11/14 2.85

 

11/10/2014

 

2.85

 

594,441

 

610,708

 

550,000.00

 

XYLEM INC COMPANY GUAR 09/16 3.55

 

9/20/2016

 

3.55

 

558,205

 

585,929

 

75,000.00

 

XYLEM INC COMPANY GUAR 09/16 3.55

 

9/20/2016

 

3.55

 

74,857

 

79,899

 

 

 

 

 

 

 

 

 

 

 

 

 

Investment companies

 

 

 

 

 

 

 

 

 

20,000.00

 

VANGUARD TOTAL BOND MARKET ETF VANGUARD TOTAL BOND MARKET

 

 

 

0

 

1,574,212

 

1,680,600

 

3,500.00

 

ISHARES BARCLAYS MBS BOND FUND ISHARES BARCLAYS MBS BOND FD

 

 

 

0

 

358,688

 

378,000

 

35,170.00

 

ISHARES CORE TOTAL US BOND MAR ISHARES CORE TOTAL US BOND M

 

 

 

0

 

3,567,017

 

3,907,035

 

 

 

 

 

 

 

 

 

 

 

 

 

Futures contracts

 

 

 

 

 

 

 

 

 

500,000.00

 

30YR US TREASURY BOND FUTURE MAR13 XCBT

 

3/19/2013

 

0

 

 

 

(2,800,000.00)

 

2YR US TREASURY NOTE FUTURES MAR13 XCBT

 

3/28/2013

 

0

 

 

 

11,300,000.00

 

10YR US TREASURY NOTE FUTURES MAR13 XCBT

 

3/19/2013

 

0

 

 

 

5,200,000.00

 

5YR US TREASURY NOTE FUTURES MAR13 XCBT

 

3/28/2013

 

0

 

 

 

(4,900,000.00)

 

ULTRA LONG US TREAS BOND FTRS MAR13 XCBT

 

3/19/2013

 

0

 

 

 

(500,000.00)

 

90DAY EURODOLLAR FUTURES CME JUN13 XCME

 

6/17/2013

 

0

 

 

 

(1,750,000.00)

 

90DAY EURODOLLAR FUTURES CME MAR13 XCME

 

3/18/2013

 

0

 

 

 

(2,500,000.00)

 

30YR US TREASURY BOND FUTURE MAR13 XCBT

 

3/19/2013

 

0

 

 

 

7,300,000.00

 

10YR US TREASURY NOTE FUTURES MAR13 XCBT

 

3/19/2013

 

0

 

 

 

22,500,000.00

 

5YR US TREASURY NOTE FUTURES MAR13 XCBT

 

3/28/2013

 

0

 

 

 

500,000.00

 

ULTRA LONG US TREAS BOND FTRS MAR13 XCBT

 

3/19/2013

 

0

 

 

 

33,600,000.00

 

2YR US TREASURY NOTE FUTURES MAR13 XCBT

 

3/28/2013

 

0

 

 

 

1,300,000.00

 

30YR US TREASURY BOND FUTURE MAR13 XCBT

 

3/19/2013

 

0

 

 

 

11,000,000.00

 

10YR USD DELIVERABLE IRS SWAPS MAR13 XCBT

 

3/18/2013

 

0

 

 

 

18,200,000.00

 

5YR USD DELIVERABLE IRS SWAPS MAR13 XCBT

 

3/18/2013

 

0

 

 

 

(44,500,000.00)

 

90DAY EURODOLLAR FUTURES CME DEC13 XCME

 

12/16/2013

 

0

 

 

 

(18,000,000.00)

 

90DAY EURODOLLAR FUTURES CME MAR13 XCME

 

3/18/2013

 

0

 

 

 

(35,500,000.00)

 

90DAY EURODOLLAR FUTURES CME SEP13 XCME

 

9/16/2013

 

0

 

 

 

 

33



Table of Contents

 

Target Corporation 401(k) Plan

 

EIN: 41-0215170  Plan Number: 002

 

Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)

 

 

 

 

 

 

 

 

 

 

 

Investments

 

Face Amount or Number

 

Identity of Issue and

 

Maturity

 

Rate of

 

Investments

 

at Current

 

of Shares/Units(c)

 

Description of Investment(b)

 

Date(c)

 

Interest (%)(c)

 

at Cost(d)

 

Value(e)

 

 

 

 

 

 

 

 

 

 

 

Separately managed accounts (continued)

 

 

 

 

 

 

 

 

 

Interest rate swaps

 

 

 

 

 

 

 

 

 

3,900,000.00

 

GR335757 IRS USD R V 03MLIBOR VANILLA

 

2/28/2017

 

1

 

$

3,891,699

 

$

3,886,904

 

(3,900,000.00)

 

GR335757 IRS USD P F .75000 VANILLA

 

2/28/2017

 

0.75

 

(3,900,000

)

(3,900,000

)

1,000,000.00

 

GR365445 IRS USD R V 03MLIBOR 1 VANILLA

 

6/19/2020

 

1

 

1,006,598

 

1,013,910

 

(1,000,000.00)

 

GR365445 IRS USD P F 1.25000 2 VANILLA

 

6/19/2020

 

1.25

 

(1,000,000

)

(1,000,000

)

700,000.00

 

GR365918 IRS USD R V 03MLIBOR 1 VANILLA

 

6/19/2020

 

1

 

703,990

 

709,737

 

(700,000.00)

 

GR365918 IRS USD P F 1.25000 2 VANILLA

 

6/19/2020

 

1.25

 

(700,000

)

(700,000

)

4,700,000.00

 

GR366238 IRS USD R V 03MLIBOR 1 VANILLA

 

6/19/2018

 

1

 

4,682,043

 

4,700,770

 

(4,700,000.00)

 

GR366238 IRS USD P F 1.00000 2 VANILLA

 

6/19/2018

 

1

 

(4,700,000

)

(4,700,000

)

900,000.00

 

GR367049 IRS USD R V 03MLIBOR 1 VANILLA

 

6/19/2043

 

1

 

871,287

 

917,616

 

(900,000.00)

 

GR367049 IRS USD P F 2.75000 2 VANILLA

 

6/19/2043

 

2.75

 

(900,000

)

(900,000

)

3,700,000.00

 

GR370020 IRS USD R V 03MLIBOR 1 VANILLA

 

5/31/2017

 

1

 

3,695,948

 

3,706,279

 

(3,700,000.00)

 

GR370020 IRS USD P F .70000 2 VANILLA

 

5/31/2017

 

0.7

 

(3,700,000

)

(3,700,000

)

3,900,000.00

 

GR370019 IRS USD R F .75000 2 VANILLA

 

2/28/2017

 

0.75

 

3,923,287

 

3,913,096

 

(3,900,000.00)

 

GR370019 IRS USD P V 03MLIBOR 1 VANILLA

 

2/28/2017

 

1

 

(3,900,000

)

(3,900,000

)

 

 

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

 

 

 

 

 

 

 

 

900,000.00

 

BANK OF NOVA SCOTIA

 

9/11/2015

 

0.7495

 

902,295

 

902,295

 

13,716,117

 

*STATE STREET BANK + TRUST CO SHORT TERM INVESTMENT FUND

 

12/31/2030

 

0.131259

 

13,716,117

 

13,716,117

 

 

 

Total separately managed accounts

 

 

 

 

 

616,277,572

 

625,648,010

 

 

 

 

 

 

 

 

 

 

 

 

 

Collective trust funds

 

 

 

 

 

 

 

 

 

 

 

WELLS FARGO SYNTHETIC

 

 

 

 

 

 

 

 

 

1,731,389

 

STABLE VALUE FUND

 

n/a

 

2.61

 

20,000,000

 

38,236,224

 

 

 

WELLS FARGO

 

 

 

 

 

 

 

 

 

1,390,875

 

STABLE RETURN FUND G

 

n/a

 

1.95

 

68,624,092

 

73,229,092

 

Cash and cash equivalents

 

 

 

 

 

 

 

 

 

25,721,891

 

*STATE STREET BANK + TRUST CO SHORT TERM INVESTMENT FUND

 

12/31/2030

 

0.131259

 

25,721,891

 

25,721,891

 

 

 

Total Collective Trust Funds

 

 

 

 

 

114,345,983

 

137,187,207

 

 

 

Total Intermediate-Term Bond Fund

 

 

 

 

 

730,623,555

 

762,835,217

 

 

 

Total Investments

 

 

 

 

 

$

4,971,847,890

 

$

6,017,492,896

 

 

 

 

 

 

 

 

 

 

 

 

 

*Participant Loans (interest rate range: 4.25-10.5014%)

 

 

 

 

 

 

 

$

133,563,492

 

 

 

 

 

 

 

 

 

 

 

$

6,151,056,388

 

 


*Indicates a party-in-interest to the Plan.

 

The sum of the amounts in the columns may not equal the total amounts due to rounding.

 

34



Table of Contents

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on their behalf by the undersigned hereunto duly authorized.

 

 

TARGET CORPORATION 401(K) PLAN

Date:  June 14, 2013

 

 

 

By

/s/ John J. Mulligan

 

 

John J. Mulligan

 

 

Chief Financial Officer,

 

 

On behalf of Target Corporation as Plan

 

 

Administrator

 

35