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, 2013 | ||
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 |
Report of Independent Registered Public Accounting Firm | |
Financial Statements | |
Statements of Net Assets Available for Benefits | |
Statements of Changes in Net Assets Available for Benefits | |
Notes to Financial Statements | |
Supplemental Schedule | |
Schedule H, Line 4i — Schedule of Assets (Held at End of Year) |
/s/ Ernst & Young, LLP | |
Minneapolis, Minnesota | |
June 13, 2014 |
(in thousands) | December 31 | |||||||
2013 | 2012 | |||||||
Assets | ||||||||
Investments | $ | 6,833,912 | $ | 6,017,493 | ||||
Receivables: | ||||||||
Due from broker for securities sold | 28,350 | 31,358 | ||||||
Notes receivable from participants | 153,184 | 133,563 | ||||||
Employer contributions | 13,985 | 12,614 | ||||||
Participant contributions | 14,123 | 12,670 | ||||||
Interest | 2,450 | 2,455 | ||||||
Total receivables | 212,092 | 192,660 | ||||||
Total assets | 7,046,004 | 6,210,153 | ||||||
Liabilities | ||||||||
Payables: | ||||||||
Due to broker for securities purchased | 31,448 | 36,952 | ||||||
Expenses | 1,226 | 1,292 | ||||||
Total liabilities | 32,674 | 38,244 | ||||||
Net assets reflecting all investments at fair value | 7,013,330 | 6,171,909 | ||||||
Adjustment from fair value to contract value for fully benefit-responsive investment contracts | — | (4,754 | ) | |||||
Net assets available for benefits | $ | 7,013,330 | $ | 6,167,155 |
(in thousands) | 2013 | 2012 | ||||||
Additions | ||||||||
Investment income: | ||||||||
Interest and dividends | $ | 60,503 | $ | 64,513 | ||||
Net realized and unrealized appreciation in fair value of investments | 728,063 | 712,078 | ||||||
Total investment income | 788,566 | 776,591 | ||||||
Interest income on notes receivable from participants | 5,845 | 5,239 | ||||||
Contributions: | ||||||||
Participant contributions | 345,765 | 324,617 | ||||||
Employer contributions | 224,430 | 213,114 | ||||||
Total contributions | 570,195 | 537,731 | ||||||
Total additions | 1,364,606 | 1,319,561 | ||||||
Deductions | ||||||||
Benefits paid to participants | 507,496 | 467,800 | ||||||
Administration fees | 10,935 | 11,872 | ||||||
Total deductions | 518,431 | 479,672 | ||||||
Net increase | 846,175 | 839,889 | ||||||
Net assets available for benefits: | ||||||||
Beginning of year | 6,167,155 | 5,327,266 | ||||||
End of year | $ | 7,013,330 | $ | 6,167,155 |
(in thousands) | Fair Value at December 31, 2013 | |||||||||||
Level 1 | Level 2 | Level 3 | ||||||||||
Cash equivalents | $ | — | $ | 17,955 | $ | — | ||||||
Target Corporation Common Stock Fund(a) | 2,036,876 | — | — | |||||||||
Commingled funds: | ||||||||||||
U.S. equities(c) | — | 1,614,929 | — | |||||||||
Lifecycle funds(b) | — | 1,469,617 | — | |||||||||
International equities(c) | — | 705,534 | — | |||||||||
U.S. government and agency obligations(c) | — | 203,634 | — | |||||||||
Cash Series Prime Fund(c) | — | 196,532 | — | |||||||||
Intermediate-term Bond Fund(d) | ||||||||||||
U.S. government and agency obligations | — | 288,185 | — | |||||||||
Corporate bonds | — | 201,374 | — | |||||||||
Asset-backed securities | — | 66,703 | — | |||||||||
Cash equivalents | — | 26,864 | — | |||||||||
Commingled Funds | — | 5,709 | — | |||||||||
Total | $ | 2,036,876 | $ | 4,797,036 | $ | — |
(in thousands) | Fair Value at December 31, 2012 | |||||||||||
Level 1 | Level 2 | Level 3 | ||||||||||
Cash equivalents | $ | — | $ | 16,686 | $ | — | ||||||
Target Corporation Common Stock Fund(a) | 2,002,641 | — | — | |||||||||
Commingled funds: | ||||||||||||
U.S. equities(c) | — | 1,104,583 | — | |||||||||
Lifecycle funds(b) | — | 1,153,617 | — | |||||||||
International equities(c) | — | 546,247 | — | |||||||||
U.S. government and agency obligations(c) | — | 315,295 | — | |||||||||
Cash Series Prime Fund(c) | — | 115,589 | — | |||||||||
Intermediate-term Bond Fund(d) | ||||||||||||
Collective trust funds | — | 137,187 | — | |||||||||
U.S. government and agency obligations | — | 328,345 | — | |||||||||
Corporate bonds | — | 208,744 | — | |||||||||
Asset-backed securities | — | 67,927 | — | |||||||||
Cash equivalents | — | 14,666 | — | |||||||||
Commingled Funds | — | 5,966 | — | |||||||||
Total | $ | 2,002,641 | $ | 4,014,852 | $ | — |
Position Description | Valuation Technique | |
Cash equivalents/ Commingled funds/Collective trust funds | Valued using the Net Asset Value (NAV) provided by the administrator of the fund. NAV is based on the value of the fund's underlying assets (minus applicable costs and liabilities), divided by the number of shares outstanding. | |
Target Corporation Common Stock Fund | Valued using the unadjusted quoted price in an active market. | |
Fixed-Income Securities | 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. |
(in thousands) | 2013 | 2012 | ||||
Commingled funds | $ | 602,605 | $ | 375,101 | ||
Target Corporation Common Stock Fund | 140,619 | 285,709 | ||||
Intermediate-term Bond Fund | (15,161 | ) | $ | 51,268 | ||
$ | 728,063 | $ | 712,078 |
December 31 | ||||||||
(in thousands) | 2013 | 2012 | ||||||
Target Corporation Common Stock Fund* | $ | 2,036,876 | $ | 2,002,641 | ||||
State Street Bank & Trust Co. S&P 500 Index Non-Lending Series Fund* | 1,078,564 | 489,728 | ||||||
State Street Bank & Trust Co. International Index Non-Lending Series Fund* | ^ | 397,950 | ||||||
BlackRock Institutional Trust Company, N.A. BlackRock MSCI EAFE Equity Index Non-Lendable Fund F | 529,271 | ^ | ||||||
State Street Bank & Trust Co. SSgA U.S. Inflation Protected Bond Index Non-Lending Series Fund* | ^ | 315,295 | ||||||
State Street Bank & Trust Co. SSgA Russell Small/Mid Cap Index Non-Lending Series Fund* | 427,140 | ^ |
(in thousands) | 2013 | 2012 | ||||||
Number of common shares purchased | 6,002 | 6,705 | ||||||
Cost of common shares purchased | $ | 401,232 | $ | 392,059 | ||||
Number of common shares sold | 7,368 | 8,598 | ||||||
Market value of common shares sold | $ | 489,576 | $ | 504,752 | ||||
Cost of common shares sold | $ | 335,159 | $ | 357,324 | ||||
Number of common shares distributed to plan participants | 168 | 236 | ||||||
Market value of common shares distributed to plan participants | $ | 11,126 | $ | 14,080 | ||||
Cost of common shares distributed to plan participants | $ | 7,631 | $ | 9,879 | ||||
Dividends received (net of pass-through dividends) | $ | 49,904 | $ | 43,413 |
(in thousands) | December 31 | |||||||
2013 | 2012 | |||||||
Net assets available for benefits per the financial statements | $ | 7,013,330 | $ | 6,167,155 | ||||
Amounts allocated to withdrawing participants | (4,732 | ) | (2,026 | ) | ||||
Adjustment from contract value to fair value for fully benefit-responsive investment contracts | — | 4,754 | ||||||
Participant contribution receivable accrual | (14,123 | ) | (12,670 | ) | ||||
Employer contribution receivable accrual | (9,182 | ) | (8,302 | ) | ||||
Net assets available for benefits per the Form 5500 | $ | 6,985,293 | $ | 6,148,911 |
(in thousands) | 2013 | ||
Benefits paid to participants per the financial statements | $ | 507,496 | |
Amounts allocated to withdrawing participants at December 31, 2012 | (2,026 | ) | |
Amounts allocated to withdrawing participants at December 31, 2013 | 4,732 | ||
Benefits paid to participants per the Form 5500 | $ | 510,202 |
(in thousands) | December 31 | |||||||
2013 | 2012 | |||||||
Participant contributions available for benefits per the financial statements | $ | 14,123 | $ | 12,670 | ||||
Participant contribution receivable accrual | (14,123 | ) | (12,670 | ) | ||||
Participant contributions available for benefits per the Form 5500 | $ | — | $ | — |
(in thousands) | December 31 | |||||||
2013 | 2012 | |||||||
Employer contributions available for benefits per the financial statements | $ | 13,985 | $ | 12,614 | ||||
Employer contribution receivable accrual | (9,182 | ) | (8,302 | ) | ||||
Employer contributions available for benefits per the Form 5500 | $ | 4,803 | $ | 4,312 |
(in thousands) | 2013 | ||
Additions to net assets attributed to participant contributions per the financial statements | $ | 345,765 | |
Change in participant contribution receivable accrual | (1,453 | ) | |
Additions to net assets attributed to participant contributions per the Form 5500 | $ | 344,312 |
(in thousands) | 2013 | ||
Additions to net assets attributed to employer contributions per the financial statements | $ | 224,430 | |
Change in employer contribution receivable accrual | (880 | ) | |
Additions to net assets attributed to employer contributions per the Form 5500 | $ | 223,550 |
(in thousands) | 2013 | ||
Total additions to net assets per the financial statements | $ | 1,364,606 | |
Adjustment from contract value to fair value for fully benefit-responsive investment contracts at December 31, 2012 | (4,754 | ) | |
Adjustment from contract value to fair value for fully benefit-responsive investment contracts at December 31, 2013 | — | ||
Change in participant contribution receivable accrual | (1,453 | ) | |
Change in employer contribution receivable accrual | (880 | ) | |
Total income per the Form 5500 | $ | 1,357,519 |
Face Amount | Investments | ||||||||||||
or Number | Identity of Issue and | Investments | at Current | ||||||||||
of Shares/Units(c) | Description of Investment(b) | at Cost(d) | Value(e) | ||||||||||
Cash Equivalents | |||||||||||||
*State Street Bank & Trust Company | |||||||||||||
17,955,025 | SSgA Short Term Investment Fund | 17,955,025 | 17,955,025 | ||||||||||
Common Stock Funds | |||||||||||||
*State Street Bank & Trust Company | |||||||||||||
33,539,649 | SSgA Target Corporation Common Stock Fund | 1,528,180,668 | 2,036,875,393 | ||||||||||
Commingled Investment Funds | |||||||||||||
*State Street Bank & Trust Company | |||||||||||||
3,139,109 | SSgA REIT Index Non-Lending Series Fund | 103,112,187 | 109,225,288 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
9,281,532 | Emerging Markets Index Non-Lending Fund F | 170,515,228 | 176,263,714 | ||||||||||
*State Street Bank & Trust Company | |||||||||||||
8,865,999 | SSgA U.S. Inflation Protected Bond Index Non-Lending Series Fund | 193,842,319 | 203,634,254 | ||||||||||
*State Street Bank & Trust Company | |||||||||||||
32,462,429 | SSgA S&P 500 Index Non-Lending Series Fund | 778,006,177 | 1,078,564,201 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
25,137,884 | BlackRock MSCI EAFE Equity Index Non-Lending Fund F | 464,394,449 | 529,270,603 | ||||||||||
*State Street Bank & Trust Company | |||||||||||||
11,455,763 | SSgA Russell Small/Mid Cap Index Non-Lending Series Fund | 361,944,594 | 427,139,597 | ||||||||||
*State Street Bank & Trust Company | |||||||||||||
196,530,797 | SSgA Cash Series Prime Fund - Class C | 196,530,797 | 196,530,797 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
9,057,811 | LifePath Index Retirement Non-Lending Fund F | 125,937,661 | 145,156,864 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
6,609,966 | LifePath Index 2015 Non-Lending Fund F | 96,142,585 | 112,444,118 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
7,800,802 | LifePath Index 2020 Non-Lending Fund F | 114,147,797 | 140,780,292 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
7,803,483 | LifePath Index 2025 Non-Lending Fund F | 116,891,922 | 148,412,098 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
7,665,884 | LifePath Index 2030 Non-Lending Fund F | 117,005,956 | 152,038,237 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
7,644,547 | LifePath Index 2035 Non-Lending Fund F | 119,565,864 | 157,659,617 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
7,965,254 | LifePath Index 2040 Non-Lending Fund F | 127,639,587 | 170,109,950 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
7,949,441 | LifePath Index 2045 Non-Lending Fund F | 131,937,490 | 175,700,920 |
Face Amount | Investments | ||||||||||||
or Number | Identity of Issue and | Investments | at Current | ||||||||||
of Shares/Units(c) | Description of Investment(b) | at Cost(d) | Value(e) | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
9,800,551 | LifePath Index 2045 Non-Lending Fund F | 169,481,004 | 223,433,943 | ||||||||||
BlackRock Institutional Trust Company, N.A. | |||||||||||||
2,663,864 | LifePath Index 2050 Non-Lending Fund F | 38,891,674 | 43,881,296 | ||||||||||
Total Commingled Investment Funds | 3,425,987,291 | 4,190,245,789 |
Face Amount | Investments | |||||||||||||
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 | ||||||||||||||
Fixed Income Securities | ||||||||||||||
330,000 | ABB FINANCE USA INC COMPANY GUAR 05/22 2.875 | 5/8/2022 | 2.875 | 322,849 | 311,827 | |||||||||
230,000 | ABB TREASURY CENTER USA SR UNSECURED 144A 06/16 2.5 | 6/15/2016 | 2.500 | 228,546 | 236,541 | |||||||||
200,000 | ABBEY NATL TREASURY SERV BANK GUARANT 04/14 2.875 | 4/25/2014 | 2.875 | 199,540 | 201,368 | |||||||||
500,000 | ABBEY NATL TREASURY SERV BANK GUARANT 04/16 4. | 4/27/2016 | 4.000 | 499,800 | 530,897 | |||||||||
470,000 | ABBVIE INC SR UNSECURED 11/15 1.2 | 11/6/2015 | 1.200 | 469,685 | 474,777 | |||||||||
490,000 | ABBVIE INC SR UNSECURED 11/17 1.75 | 11/6/2017 | 1.750 | 488,976 | 489,161 | |||||||||
825,000 | ABBVIE INC SR UNSECURED 11/17 1.75 | 11/6/2017 | 1.750 | 834,564 | 823,587 | |||||||||
240,000 | ABBVIE INC SR UNSECURED 11/22 2.9 | 11/6/2022 | 2.900 | 229,487 | 224,317 | |||||||||
481,536 | ACCESS GROUP INC ACCSS 2006 1 A2 | 8/25/2023 | 0.348 | 474,313 | 474,457 | |||||||||
307,000 | ACCESS TO LOANS FOR LEARNING S ACCSTD 04/24 FLOATING VAR | 4/25/2024 | 1.000 | 300,860 | 307,006 | |||||||||
625,000 | ACE INA HOLDINGS COMPANY GUAR 02/17 5.7 | 2/15/2017 | 5.700 | 708,269 | 700,844 | |||||||||
255,000 | ACE INA HOLDINGS COMPANY GUAR 03/23 2.7 | 3/13/2023 | 2.700 | 254,136 | 233,662 | |||||||||
170,000 | ADVANCE AUTO PARTS INC COMPANY GUAR 05/20 5.75 | 5/1/2020 | 5.750 | 196,942 | 184,736 | |||||||||
440,000 | AETNA INC SR UNSECURED 11/22 2.75 | 11/15/2022 | 2.750 | 433,352 | 405,306 | |||||||||
615,000 | AFRICAN DEVELOPMENT BANK SR UNSECURED 10/16 0.75 | 10/18/2016 | 0.750 | 613,198 | 612,862 | |||||||||
600,000 | AGILENT TECHNOLOGIES INC SR UNSECURED 11/17 6.5 | 11/1/2017 | 6.500 | 708,348 | 695,003 | |||||||||
300,000 | AID ISRAEL US GOVT GUAR 04/24 5.5 | 4/26/2024 | 5.500 | 404,670 | 346,610 | |||||||||
1,400,000 | AID ISRAEL US GOVT GUAR 09/23 5.5 | 9/18/2023 | 5.500 | 1,814,916 | 1,616,352 | |||||||||
200,000 | AID ISRAEL US GOVT GUAR 12/23 5.5 | 12/4/2023 | 5.500 | 248,884 | 230,451 | |||||||||
155,000 | ALLERGAN INC SR UNSECURED 03/23 2.8 | 3/15/2023 | 2.800 | 154,557 | 143,332 | |||||||||
240,000 | ALLY BANK CERT OF DEPO 11/14 1.4 | 11/17/2014 | 1.400 | 240,000 | 241,659 | |||||||||
825,000 | ALLY MASTER OWNER TRUST AMOT 2011 4 A1 | 9/15/2016 | 0.967 | 831,703 | 827,374 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
750,000 | ALLY MASTER OWNER TRUST AMOT 2013 1 A1 | 2/15/2018 | 0.617 | 750,000 | 749,197 | |||||||||
200,000 | ALTRIA GROUP INC COMPANY GUAR 01/24 4 | 1/31/2024 | 4.000 | 198,756 | 195,483 | |||||||||
200,000 | ALTRIA GROUP INC COMPANY GUAR 05/21 4.75 | 5/5/2021 | 4.750 | 211,542 | 214,632 | |||||||||
425,000 | ALTRIA GROUP INC COMPANY GUAR 08/22 2.85 | 8/9/2022 | 2.850 | 424,524 | 391,306 | |||||||||
40,000 | ALTRIA GROUP INC COMPANY GUAR 11/18 9.7 | 11/10/2018 | 9.700 | 53,388 | 52,576 | |||||||||
175,000 | AMAZON.COM INC SR UNSECURED 11/17 1.2 | 11/29/2017 | 1.200 | 174,148 | 171,341 | |||||||||
165,000 | AMERICAN CAMPUS CMNTYS COMPANY GUAR 04/23 3.75 | 4/15/2023 | 3.750 | 164,437 | 153,122 | |||||||||
350,000 | AMERICAN EXPRESS CREDIT SR UNSECURED 03/17 2.375 | 3/24/2017 | 2.375 | 349,052 | 359,757 | |||||||||
325,000 | AMERICAN EXPRESS CREDIT SR UNSECURED 03/17 2.375 | 3/24/2017 | 2.375 | 336,882 | 334,060 | |||||||||
365,000 | AMERICAN EXPRESS CREDIT SR UNSECURED 06/15 1.75 | 6/12/2015 | 1.750 | 364,927 | 370,890 | |||||||||
900,000 | AMERICAN HONDA FINANCE SR UNSECURED 144A 09/15 2.5 | 9/21/2015 | 2.500 | 930,447 | 927,531 | |||||||||
185,000 | AMERICAN INTL GROUP SR UNSECURED 03/15 3 | 3/20/2015 | 3.000 | 184,711 | 190,011 | |||||||||
375,000 | AMERICAN INTL GROUP SR UNSECURED 03/17 3.8 | 3/22/2017 | 3.800 | 374,239 | 400,462 | |||||||||
175,000 | AMERICAN INTL GROUP SR UNSECURED 05/17 5.45 | 5/18/2017 | 5.450 | 180,140 | 195,601 | |||||||||
155,000 | AMERICAN INTL GROUP SR UNSECURED 06/22 4.875 | 6/1/2022 | 4.875 | 167,943 | 166,598 | |||||||||
200,000 | AMERICAN INTL GROUP SR UNSECURED 08/18 8.25 | 8/15/2018 | 8.250 | 242,760 | 250,176 | |||||||||
245,000 | AMERICAN INTL GROUP SR UNSECURED 08/20 3.375 | 8/15/2020 | 3.375 | 244,939 | 246,425 | |||||||||
600,000 | AMERICAN INTL GROUP SR UNSECURED 12/20 6.4 | 12/15/2020 | 6.400 | 700,609 | 709,117 | |||||||||
400,000 | AMERICAN TOWER CORP SR UNSECURED 01/23 3.5 | 1/31/2023 | 3.500 | 396,740 | 364,698 | |||||||||
103,057 | AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 2 A2 | 10/8/2015 | 0.760 | 103,052 | 103,075 | |||||||||
216,722 | AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 3 A2 | 12/8/2015 | 0.710 | 216,707 | 216,774 | |||||||||
385,353 | AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2012 5 A2 | 1/8/2016 | 0.510 | 385,344 | 385,264 | |||||||||
400,000 | AMGEN INC SR UNSECURED 06/18 6.15 | 6/1/2018 | 6.150 | 459,336 | 467,053 | |||||||||
380,000 | ANHEUSER BUSCH INBEV FIN COMPANY GUAR 01/23 2.625 | 1/17/2023 | 2.625 | 369,707 | 348,972 | |||||||||
205,000 | ANHEUSER BUSCH INBEV WOR COMPANY GUAR 07/22 2.5 | 7/15/2022 | 2.500 | 189,293 | 189,618 | |||||||||
210,000 | AON CORP COMPANY GUAR 09/20 5 | 9/30/2020 | 5.000 | 245,679 | 230,668 | |||||||||
750,000 | APPLE INC SR UNSECURED 05/18 VAR | 5/3/2018 | 0.492 | 750,000 | 748,731 | |||||||||
64,000 | APPLE INC SR UNSECURED 05/23 2.4 | 5/3/2023 | 2.400 | 63,479 | 57,550 | |||||||||
617,000 | ARKLE MASTER ISSUER PLC ARKLE 2012 1A 2A1 144A | 5/17/2060 | 1.938 | 617,000 | 628,181 | |||||||||
130,000 | ASIAN DEVELOPMENT BANK SR UNSECURED 07/18 5.593 | 7/16/2018 | 5.593 | 144,729 | 150,735 | |||||||||
500,000 | AT+T INC SR UNSECURED 02/16 0.9 | 2/12/2016 | 0.900 | 499,810 | 497,460 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
1,000,000 | AT+T INC SR UNSECURED 02/17 1.6 | 2/15/2017 | 1.600 | 1,000,950 | 998,599 | |||||||||
735,000 | AT+T INC SR UNSECURED 08/15 2.5 | 8/15/2015 | 2.500 | 764,231 | 754,622 | |||||||||
960,000 | AT+T INC SR UNSECURED 11/18 2.375 | 11/27/2018 | 2.350 | 960,000 | 960,824 | |||||||||
385,000 | AVALONBAY COMMUNITIES IN SR UNSECURED 10/20 3.625 | 10/1/2020 | 3.625 | 383,953 | 389,195 | |||||||||
150,000 | AVON PRODUCTS INC SR UNSECURED 03/20 4.6 | 3/15/2020 | 4.600 | 154,064 | 148,746 | |||||||||
275,000 | AVON PRODUCTS INC SR UNSECURED 03/23 5 | 3/15/2023 | 5.000 | 275,376 | 267,361 | |||||||||
130,000 | BAE SYSTEMS HOLDINGS INC COMPANY GUAR 144A 08/15 5.2 | 8/15/2015 | 5.200 | 131,182 | 138,032 | |||||||||
145,000 | BAE SYSTEMS PLC SR UNSECURED 144A 10/16 3.5 | 10/11/2016 | 3.500 | 153,145 | 151,576 | |||||||||
720,000 | BANC OF AMERICA COMMERCIAL MOR BACM 2005 3 A3A | 7/10/2043 | 4.621 | 732,600 | 732,208 | |||||||||
240,000 | BANGOR SAVINGS BANK CERT OF DEPO 09/18 VAR | 9/20/2018 | 1.000 | 240,000 | 240,081 | |||||||||
375,000 | BANK OF AMERICA CORP SR UNSECURED 01/19 2.6 | 1/15/2019 | 2.600 | 374,936 | 376,655 | |||||||||
870,000 | BANK OF AMERICA CORP SR UNSECURED 01/23 3.3 | 1/11/2023 | 3.300 | 823,298 | 823,252 | |||||||||
255,000 | BANK OF AMERICA CORP SR UNSECURED 07/16 3.75 | 7/12/2016 | 3.750 | 247,501 | 271,095 | |||||||||
150,000 | BANK OF AMERICA CORP SR UNSECURED 07/20 5.625 | 7/1/2020 | 5.625 | 169,928 | 171,407 | |||||||||
175,000 | BANK OF AMERICA CORP SR UNSECURED 07/23 4.1 | 7/24/2023 | 4.100 | 174,858 | 175,743 | |||||||||
770,000 | BANK OF AMERICA CORP SR UNSECURED 08/16 6.5 | 8/1/2016 | 6.500 | 838,718 | 869,398 | |||||||||
225,000 | BANK OF AMERICA CORP SR UNSECURED 08/17 6.4 | 8/28/2017 | 6.400 | 224,672 | 259,404 | |||||||||
250,000 | BANK OF AMERICA CORP SR UNSECURED 09/17 6 | 9/1/2017 | 6.000 | 284,818 | 285,448 | |||||||||
590,000 | BANK OF AMERICA CORP SR UNSECURED 10/15 1.5 | 10/9/2015 | 1.500 | 592,696 | 595,941 | |||||||||
675,000 | BANK OF AMERICA CORP SR UNSECURED 10/16 5.625 | 10/14/2016 | 5.625 | 693,358 | 752,209 | |||||||||
405,000 | BANK OF AMERICA CORP SR UNSECURED 12/17 5.75 | 12/1/2017 | 5.750 | 469,877 | 460,936 | |||||||||
625,000 | BANK OF AMERICA CORP SR UNSECURED 12/17 5.75 | 12/1/2017 | 5.750 | 723,156 | 711,321 | |||||||||
240,000 | BANK OF BARODA CERT OF DEPO 10/18 2.05 | 10/29/2018 | 2.050 | 240,000 | 238,572 | |||||||||
770,000 | BANK OF NOVA SCOTIA COVERED 144A 10/15 1.65 | 10/29/2015 | 1.650 | 786,740 | 785,092 | |||||||||
600,000 | BANK OF NOVA SCOTIA SR UNSECURED 10/15 0.75 | 10/9/2015 | 0.750 | 599,982 | 601,960 | |||||||||
465,000 | BANK OF NOVA SCOTIA SR UNSECURED 10/15 0.75 | 10/9/2015 | 0.750 | 464,986 | 466,519 | |||||||||
100,000 | BANK OF SCOTLAND PLC COVERED 144A 02/17 5.25 | 2/21/2017 | 5.250 | 106,098 | 111,533 | |||||||||
240,000 | BANKWEST INC CERT OF DEPO 01/17 VAR | 1/23/2017 | 0.900 | 240,000 | 238,334 | |||||||||
300,000 | BAPTIST HLTH SO FLOR INC SECURED 08/21 4.59 | 8/15/2021 | 4.590 | 300,000 | 309,317 | |||||||||
710,000 | BARCLAYS BANK PLC COVERED 144A 05/17 2.25 | 5/10/2017 | 2.250 | 738,365 | 731,655 | |||||||||
750,000 | BARCLAYS BANK PLC SR UNSECURED 01/14 VAR | 1/13/2014 | 1.106 | 750,000 | 750,161 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
240,000 | BARCLAYS BANK/DELAWARE CERT OF DEPO 12/15 1.55 | 12/7/2015 | 1.550 | 240,000 | 244,000 | |||||||||
140,000 | BARRICK GOLD CORP SR UNSECURED 04/22 3.85 | 4/1/2022 | 3.850 | 122,713 | 126,088 | |||||||||
350,000 | BAT INTL FINANCE PLC COMPANY GUAR 144A 06/17 2.125 | 6/7/2017 | 2.125 | 359,923 | 353,925 | |||||||||
370,000 | BAXTER INTERNATIONAL INC SR UNSECURED 06/16 0.95 | 6/1/2016 | 0.950 | 369,645 | 369,960 | |||||||||
265,000 | BAXTER INTERNATIONAL INC SR UNSECURED 06/23 3.2 | 6/15/2023 | 3.200 | 264,165 | 253,167 | |||||||||
320,000 | BB+T CORPORATION 06/18 2.05 | 6/19/2018 | 2.050 | 319,533 | 316,812 | |||||||||
615,000 | BEAR STEARNS COMMERCIAL MORTGA BSCMS 2005 PWR9 A4A | 9/11/2042 | 4.871 | 678,782 | 645,152 | |||||||||
363,000 | BEAR STEARNS COMMERCIAL MORTGA BSCMS 2005 PWR9 AAB | 9/11/2042 | 4.804 | 376,839 | 367,486 | |||||||||
2,134,645 | BEAR STEARNS COMMERCIAL MORTGA BSCMS 2006 PW11 A1A | 3/11/2039 | 5.439 | 2,315,756 | 2,298,859 | |||||||||
621,659 | BEAR STEARNS COMMERCIAL MORTGA BSCMS 2006 PW12 A1A | 9/11/2038 | 5.705 | 688,391 | 679,525 | |||||||||
200,000 | BEAR STEARNS COS LLC SR UNSECURED 02/18 7.25 | 2/1/2018 | 7.250 | 209,343 | 239,474 | |||||||||
577,668 | BEAR STEARNS DEUTSCHE BANK TRU BSDB 2005 AFR1 A1 144A | 9/15/2027 | 4.724 | 624,964 | 606,110 | |||||||||
365,000 | BERKSHIRE HATHAWAY FIN COMPANY GUAR 01/21 4.25 | 1/15/2021 | 4.250 | 390,068 | 387,881 | |||||||||
340,000 | BERKSHIRE HATHAWAY FIN COMPANY GUAR 10/20 2.9 | 10/15/2020 | 2.900 | 339,337 | 337,174 | |||||||||
850,000 | BERKSHIRE HATHAWAY INC SR UNSECURED 08/14 VAR | 8/15/2014 | 0.941 | 851,233 | 853,693 | |||||||||
100,000 | BHP BILLITON FIN USA LTD COMPANY GUAR 02/22 2.875 | 2/24/2022 | 2.875 | 99,064 | 95,632 | |||||||||
210,000 | BHP BILLITON FIN USA LTD COMPANY GUAR 09/23 3.85 | 9/30/2023 | 3.850 | 210,897 | 210,911 | |||||||||
300,000 | BHP BILLITON FIN USA LTD COMPANY GUAR 11/14 1.125 | 11/21/2014 | 1.125 | 298,935 | 302,160 | |||||||||
850,000 | BLACKROCK INC SR UNSECURED 06/15 1.375 | 6/1/2015 | 1.375 | 863,719 | 860,639 | |||||||||
240,000 | BMO HARRIS BANK NA CERT OF DEPO 09/18 VAR | 9/27/2018 | 1.000 | 240,000 | 240,366 | |||||||||
240,000 | BMW BANK NORTH AMERICA CERT OF DEPO 08/18 1.9 | 8/9/2018 | 1.900 | 240,000 | 239,347 | |||||||||
500,000 | BNP PARIBAS BANK GUARANT 01/14 VAR | 1/10/2014 | 1.144 | 503,845 | 500,083 | |||||||||
300,000 | BOARDWALK PIPELINES LLC COMPANY GUAR 11/16 5.875 | 11/15/2016 | 5.875 | 299,213 | 332,006 | |||||||||
120,000 | BOTTLING GROUP LLC COMPANY GUAR 01/19 5.125 | 1/15/2019 | 5.125 | 142,570 | 135,500 | |||||||||
175,000 | BP CAPITAL MARKETS PLC COMPANY GUAR 03/16 3.2 | 3/11/2016 | 3.200 | 186,678 | 183,764 | |||||||||
175,000 | BP CAPITAL MARKETS PLC COMPANY GUAR 05/23 2.75 | 5/10/2023 | 2.750 | 173,247 | 159,792 | |||||||||
350,000 | BP CAPITAL MARKETS PLC COMPANY GUAR 05/23 2.75 | 5/10/2023 | 2.750 | 321,314 | 319,584 | |||||||||
705,000 | BP CAPITAL MARKETS PLC COMPANY GUAR 09/18 2.241 | 9/26/2018 | 2.241 | 705,000 | 707,035 | |||||||||
550,000 | BP CAPITAL MARKETS PLC COMPANY GUAR 10/20 4.5 | 10/1/2020 | 4.500 | 579,683 | 594,228 | |||||||||
195,000 | BP CAPITAL MARKETS PLC COMPANY GUAR 10/20 4.5 | 10/1/2020 | 4.500 | 212,890 | 210,681 | |||||||||
800,000 | BP CAPITAL MARKETS PLC COMPANY GUAR 11/16 2.248 | 11/1/2016 | 2.248 | 811,264 | 827,889 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
240,000 | BREMER BANK ST CLOUD CERT OF DEPO 08/17 1.2 | 8/29/2017 | 1.200 | 240,000 | 238,658 | |||||||||
194,437 | BRSHA1WB0 LEHMAN TBA CLAIM LEHMAN TBA CLAIM SETTLEMENT AG | 12/31/2049 | 1.000 | — | 86,524 | |||||||||
225,000 | BUCKEYE PARTNERS LP SR UNSECURED 07/23 4.15 | 7/1/2023 | 4.150 | 224,573 | 216,347 | |||||||||
215,000 | BURLINGTN NORTH SANTA FE SR UNSECURED 03/23 3 | 3/15/2023 | 3.000 | 215,000 | 200,221 | |||||||||
190,000 | BURLINGTN NORTH SANTA FE SR UNSECURED 09/21 3.45 | 9/15/2021 | 3.450 | 192,424 | 187,641 | |||||||||
835,000 | CABELA S MASTER CREDIT CARD TR CABMT 2012 2A A1 144A | 6/15/2020 | 1.450 | 834,657 | 832,938 | |||||||||
590,000 | CAIXA ECONOMICA FEDERAL SR UNSECURED 144A 11/17 2.375 | 11/6/2017 | 2.375 | 588,203 | 547,963 | |||||||||
250,000 | CAMDEN PROPERTY TRUST SR UNSECURED 05/17 5.7 | 5/15/2017 | 5.700 | 284,559 | 277,926 | |||||||||
200,000 | CAMERON INTL CORP SR UNSECURED 12/16 1.15 | 12/15/2016 | 1.150 | 199,964 | 199,339 | |||||||||
400,000 | CAMPBELL SOUP CO SR UNSECURED 02/19 4.5 | 2/15/2019 | 4.500 | 441,056 | 438,067 | |||||||||
725,000 | CAPITAL AUTO RECEIVABLES ASSET AFIN 2013 1 A2 | 7/20/2016 | 0.620 | 724,942 | 724,479 | |||||||||
465,000 | CAPITAL ONE BANK USA NA SUBORDINATED 02/23 3.375 | 2/15/2023 | 3.375 | 465,390 | 432,301 | |||||||||
170,000 | CAPITAL ONE FINANCIAL CO SR UNSECURED 06/23 3.5 | 6/15/2023 | 3.500 | 176,533 | 159,580 | |||||||||
405,000 | CAPITAL ONE FINANCIAL CO SR UNSECURED 07/21 4.75 | 7/15/2021 | 4.750 | 403,125 | 430,656 | |||||||||
525,000 | CAPITAL ONE FINANCIAL CO SR UNSECURED 07/21 4.75 | 7/15/2021 | 4.750 | 552,163 | 558,258 | |||||||||
609,000 | CAPITAL ONE MULTI ASSET EXECUT COMET 2013 A3 A3 | 9/16/2019 | 0.960 | 608,927 | 601,661 | |||||||||
650,000 | CARNIVAL CORP COMPANY GUAR 02/16 1.2 | 2/5/2016 | 1.200 | 649,864 | 648,203 | |||||||||
290,000 | CARNIVAL CORP COMPANY GUAR 10/20 3.95 | 10/15/2020 | 3.950 | 289,246 | 290,224 | |||||||||
115,000 | CARNIVAL CORP COMPANY GUAR 10/20 3.95 | 10/15/2020 | 3.950 | 114,701 | 115,089 | |||||||||
800,000 | CATERPILLAR FINANCIAL SE SR UNSECURED 04/14 VAR | 4/1/2014 | 0.538 | 798,848 | 800,313 | |||||||||
650,000 | CATERPILLAR FINANCIAL SE SR UNSECURED 05/15 1.1 | 5/29/2015 | 1.100 | 649,792 | 655,237 | |||||||||
455,000 | CATERPILLAR INC SR UNSECURED 06/17 1.5 | 6/26/2017 | 1.500 | 454,454 | 452,795 | |||||||||
440,000 | CATERPILLAR INC SR UNSECURED 06/17 1.5 | 6/26/2017 | 1.500 | 439,472 | 437,867 | |||||||||
380,000 | CATHOLIC HEALTH INITIATI SECURED 11/22 2.95 | 11/1/2022 | 2.950 | 354,686 | 345,362 | |||||||||
409,803 | CD COMMERCIAL MORTGAGE TRUST CD 2005 CD1 ASB | 7/15/2044 | 5.218 | 428,692 | 412,610 | |||||||||
805,000 | CDP FINANCIAL COMPANY GUAR 144A 11/19 4.4 | 11/25/2019 | 4.400 | 911,944 | 886,187 | |||||||||
450,000 | CELLCO PART/VERI WIRELSS SR UNSECURED 11/18 8.5 | 11/15/2018 | 8.500 | 603,365 | 569,760 | |||||||||
540,000 | CELLCO PART/VERI WIRELSS SR UNSECURED 11/18 8.5 | 11/15/2018 | 8.500 | 638,685 | 683,712 | |||||||||
240,000 | CENTRIX BANK + TRUST CERT OF DEPO 05/17 VAR | 5/30/2017 | 0.750 | 240,000 | 237,967 | |||||||||
830,000 | CHEVRON CORP SR UNSECURED 06/18 1.718 | 6/24/2018 | 1.718 | 830,000 | 826,868 | |||||||||
355,000 | CHEVRON CORP SR UNSECURED 06/20 2.427 | 6/24/2020 | 2.427 | 355,000 | 345,436 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
120,000 | CHEVRON CORP SR UNSECURED 06/23 3.191 | 6/24/2023 | 3.191 | 120,000 | 115,194 | |||||||||
225,000 | CHEVRON CORP SR UNSECURED 12/17 1.104 | 12/5/2017 | 1.104 | 225,000 | 220,048 | |||||||||
670,000 | CHRYSLER CAPITAL AUTO RECEIVAB CCART 2013 AA A4 144A | 12/17/2018 | 1.360 | 669,995 | 669,724 | |||||||||
350,000 | CIGNA CORP SR UNSECURED 11/16 2.75 | 11/15/2016 | 2.750 | 349,708 | 364,288 | |||||||||
445,000 | CINTAS CORPORATION NO. 2 COMPANY GUAR 06/16 2.85 | 6/1/2016 | 2.850 | 457,001 | 459,015 | |||||||||
240,000 | CIT BANK CERT OF DEPO 11/15 1.65 | 11/16/2015 | 1.650 | 240,000 | 244,867 | |||||||||
61,000 | CITIGROUP INC SR UNSECURED 01/15 6.01 | 1/15/2015 | 6.010 | 65,596 | 64,236 | |||||||||
450,000 | CITIGROUP INC SR UNSECURED 04/16 1.3 | 4/1/2016 | 1.300 | 449,469 | 451,046 | |||||||||
370,000 | CITIGROUP INC SR UNSECURED 04/16 VAR | 4/1/2016 | 1.038 | 370,000 | 372,415 | |||||||||
123,000 | CITIGROUP INC SR UNSECURED 05/15 4.75 | 5/19/2015 | 4.750 | 129,504 | 129,427 | |||||||||
565,000 | CITIGROUP INC SR UNSECURED 07/16 1.7 | 7/25/2016 | 1.700 | 564,734 | 570,323 | |||||||||
750,000 | CITIGROUP INC SR UNSECURED 10/23 3.875 | 10/25/2023 | 3.875 | 736,970 | 737,294 | |||||||||
450,000 | CITIGROUP INC SR UNSECURED 11/16 1.3 | 11/15/2016 | 1.300 | 450,063 | 448,430 | |||||||||
295,000 | CITIGROUP INC SR UNSECURED 11/17 6.125 | 11/21/2017 | 6.125 | 315,842 | 340,049 | |||||||||
790,000 | CITIGROUP INC SR UNSECURED 12/15 4.587 | 12/15/2015 | 4.587 | 791,675 | 844,205 | |||||||||
190,000 | CITIGROUP INC SUBORDINATED 09/14 5 | 9/15/2014 | 5.000 | 196,014 | 195,412 | |||||||||
335,000 | CNA FINANCIAL CORP SR UNSECURED 08/20 5.875 | 8/15/2020 | 5.875 | 392,402 | 381,910 | |||||||||
300,000 | COCA COLA AMATIL LTD COMPANY GUAR 144A 11/14 3.25 | 11/2/2014 | 3.250 | 311,973 | 305,934 | |||||||||
470,000 | COCA COLA CO/THE SR UNSECURED 11/20 2.45 | 11/1/2020 | 2.450 | 469,337 | 456,518 | |||||||||
500,000 | COCA COLA FEMSA SAB CV COMPANY GUAR 11/23 3.875 | 11/26/2023 | 3.875 | 492,580 | 493,078 | |||||||||
350,000 | COLLEGE LOAN CORPORATION TRUST COLLE 2004 1 A4 | 4/25/2024 | 0.428 | 327,250 | 333,505 | |||||||||
360,000 | COMCAST CABLE COMMUNICAT COMPANY GUAR 05/17 8.875 | 5/1/2017 | 8.875 | 465,797 | 442,079 | |||||||||
100,000 | COMCAST CORP COMPANY GUAR 01/23 2.85 | 1/15/2023 | 2.850 | 93,221 | 92,461 | |||||||||
550,000 | COMCAST CORP COMPANY GUAR 02/18 5.875 | 2/15/2018 | 5.875 | 619,011 | 630,847 | |||||||||
500,000 | COMCAST CORP COMPANY GUAR 03/16 5.9 | 3/15/2016 | 5.900 | 572,360 | 552,195 | |||||||||
598,261 | COMM MORTGAGE TRUST COMM 2010 C1 A1 144A | 7/10/2046 | 3.156 | 620,673 | 616,074 | |||||||||
330,000 | COMM MORTGAGE TRUST COMM 2013 CR12 A3 | 10/10/2046 | 3.765 | 333,285 | 324,836 | |||||||||
240,000 | COMPASS BANK CERT OF DEPO 07/18 1.8 | 7/31/2018 | 1.800 | 240,000 | 239,551 | |||||||||
1,000,000 | CONS EDISON CO OF NY SR UNSECURED 12/16 5.3 | 12/1/2016 | 5.300 | 1,174,020 | 1,118,634 | |||||||||
250,000 | CORNERSTONE COMMUNITY BK CERT OF DEPO 02/18 VAR | 2/7/2018 | 0.700 | 250,000 | 247,786 | |||||||||
4,398 | COUNTRYWIDE ASSET BACKED CERTI CWL 2002 6 AV1 | 5/25/2033 | 1.026 | 4,408 | 4,041 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
675,000 | COVIDIEN INTL FINANCE SA COMPANY GUAR 05/15 1.35 | 5/29/2015 | 1.350 | 674,784 | 679,952 | |||||||||
291,000 | COX COMMUNICATIONS INC SR UNSECURED 12/14 5.45 | 12/15/2014 | 5.450 | 323,891 | 304,110 | |||||||||
240,000 | COX COMMUNICATIONS INC SR UNSECURED 144A 06/23 2.95 | 6/30/2023 | 2.950 | 204,415 | 209,722 | |||||||||
895,000 | CREDIT SUISSE GUERNSEY COVERED 144A 03/15 1.625 | 3/6/2015 | 1.625 | 900,574 | 906,188 | |||||||||
785,000 | CREDIT SUISSE GUERNSEY COVERED 144A 05/16 2.6 | 5/27/2016 | 2.600 | 808,126 | 816,529 | |||||||||
775,000 | CREDIT SUISSE NEW YORK SR UNSECURED 05/14 5.5 | 5/1/2014 | 5.500 | 824,631 | 787,633 | |||||||||
280,000 | CVS CAREMARK CORP SR UNSECURED 12/16 1.2 | 12/5/2016 | 1.200 | 279,894 | 280,284 | |||||||||
170,000 | CVS CAREMARK CORP SR UNSECURED 12/18 2.25 | 12/5/2018 | 2.250 | 169,808 | 169,950 | |||||||||
445,000 | DAIMLER FINANCE NA LLC COMPANY GUAR 144A 01/16 1.25 | 1/11/2016 | 1.250 | 444,453 | 445,314 | |||||||||
1,130,000 | DAIMLER FINANCE NA LLC COMPANY GUAR 144A 09/14 1.875 | 9/15/2014 | 1.875 | 1,126,429 | 1,139,777 | |||||||||
330,000 | DARDEN RESTAURANTS INC SR UNSECURED 10/21 4.5 | 10/15/2021 | 4.500 | 317,737 | 316,042 | |||||||||
155,000 | DAYTON POWER + LIGHT CO 1ST MORTGAGE 144A 09/16 1.875 | 9/15/2016 | 1.875 | 154,737 | 156,266 | |||||||||
1,530,000 | DBUBS MORTGAGE TRUST DBUBS 2011 LC1A A2 144A | 11/10/2046 | 4.528 | 1,536,227 | 1,662,302 | |||||||||
335,000 | DEERE + COMPANY SR UNSECURED 06/22 2.6 | 6/8/2022 | 2.600 | 334,149 | 313,247 | |||||||||
235,000 | DIAGEO CAPITAL PLC COMPANY GUAR 04/23 2.625 | 4/29/2023 | 2.625 | 234,424 | 214,256 | |||||||||
1,350,000 | DIRECTV HOLDINGS/FING COMPANY GUAR 03/16 3.5 | 3/1/2016 | 3.500 | 1,347,449 | 1,417,080 | |||||||||
225,000 | DIRECTV HOLDINGS/FING COMPANY GUAR 03/16 3.5 | 3/1/2016 | 3.500 | 231,440 | 236,180 | |||||||||
225,000 | DIRECTV HOLDINGS/FING COMPANY GUAR 03/20 5.2 | 3/15/2020 | 5.200 | 257,933 | 245,019 | |||||||||
240,000 | DISCOVER BANK CERT OF DEPO 02/16 1.35 | 2/1/2016 | 1.350 | 240,000 | 244,026 | |||||||||
260,000 | DISCOVER BANK SR UNSECURED 08/23 4.2 | 8/8/2023 | 4.200 | 258,991 | 256,441 | |||||||||
250,000 | DISCOVER BANK SR UNSECURED 08/23 4.2 | 8/8/2023 | 4.200 | 249,030 | 246,578 | |||||||||
460,000 | DOLPHIN ENERGY LTD SR SECURED 144A 12/21 5.5 | 12/15/2021 | 5.500 | 463,250 | 502,550 | |||||||||
510,000 | DOMINION GAS HLDGS LLC SR UNSECURED 144A 11/16 1.05 | 11/1/2016 | 1.050 | 509,816 | 508,378 | |||||||||
240,000 | DORAL BANK CERT OF DEPO 08/16 1.2 | 8/9/2016 | 1.200 | 240,000 | 241,398 | |||||||||
330,000 | DR PEPPER SNAPPLE GROUP COMPANY GUAR 11/22 2.7 | 11/15/2022 | 2.700 | 328,769 | 300,413 | |||||||||
225,000 | DTE ENERGY COMPANY SR UNSECURED 12/23 3.85 | 12/1/2023 | 3.850 | 224,516 | 222,252 | |||||||||
250,000 | DUKE ENERGY CAROLINAS 1ST REF MORT 01/18 5.25 | 1/15/2018 | 5.250 | 249,150 | 282,616 | |||||||||
485,000 | DUKE ENERGY PROGRESS INC 1ST MORTGAGE 01/19 5.3 | 1/15/2019 | 5.300 | 566,079 | 551,649 | |||||||||
180,000 | DUKE ENERGY PROGRESS INC 1ST MORTGAGE 05/22 2.8 | 5/15/2022 | 2.800 | 179,595 | 171,483 | |||||||||
525,000 | EASTMAN CHEMICAL CO SR UNSECURED 06/17 2.4 | 6/1/2017 | 2.400 | 532,809 | 530,626 | |||||||||
480,000 | ECOLAB INC SR UNSECURED 08/15 1. | 8/9/2015 | 1.000 | 479,760 | 481,493 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
500,000 | ECOLAB INC SR UNSECURED 12/21 4.35 | 12/8/2021 | 4.350 | 518,741 | 518,466 | |||||||||
155,000 | ECOLAB INC SR UNSECURED 12/21 4.35 | 12/8/2021 | 4.350 | 167,343 | 160,724 | |||||||||
180,000 | ECOPETROL SA SR UNSECURED 09/23 5.875 | 9/18/2023 | 5.875 | 178,259 | 189,900 | |||||||||
850,000 | EDISON INTERNATIONAL SR UNSECURED 09/17 3.75 | 9/15/2017 | 3.750 | 835,720 | 890,800 | |||||||||
310,000 | EDWARDS LIFESCIENCES COR SR UNSECURED 10/18 2.875 | 10/15/2018 | 2.875 | 308,444 | 308,191 | |||||||||
650,000 | EKSPORTFINANS ASA SR UNSECURED 11/14 3. | 11/17/2014 | 3.000 | 646,984 | 652,600 | |||||||||
175,000 | ENDURANCE SPECIALTY HLDG SR UNSECURED 10/15 6.15 | 10/15/2015 | 6.150 | 174,368 | 188,379 | |||||||||
175,000 | ENERGY TRANSFER PARTNERS SR UNSECURED 10/20 4.15 | 10/1/2020 | 4.150 | 174,701 | 177,552 | |||||||||
370,000 | ENTERGY ARKANSAS INC 1ST MORTGAGE 06/23 3.05 | 6/1/2023 | 3.050 | 368,957 | 344,978 | |||||||||
450,000 | ENTERPRISE PRODUCTS OPER COMPANY GUAR 01/20 5.25 | 1/31/2020 | 5.250 | 527,400 | 501,717 | |||||||||
275,000 | ENTERPRISE PRODUCTS OPER COMPANY GUAR 03/23 3.35 | 3/15/2023 | 3.350 | 260,702 | 261,226 | |||||||||
275,000 | ERAC USA FINANCE LLC COMPANY GUAR 144A 10/22 3.3 | 10/15/2022 | 3.300 | 274,142 | 255,510 | |||||||||
300,000 | ERP OPERATING LP SR UNSECURED 12/21 4.625 | 12/15/2021 | 4.625 | 298,857 | 316,277 | |||||||||
240,000 | EVERBANK/JACKSONVILLE FL CERT OF DEPO 09/16 0.85 | 9/28/2016 | 0.850 | 240,000 | 241,208 | |||||||||
275,000 | EXELON GENERATION CO LLC SR UNSECURED 06/22 4.25 | 6/15/2022 | 4.250 | 288,745 | 263,559 | |||||||||
900,000 | EXPRESS SCRIPTS HOLDING COMPANY GUAR 11/16 3.5 | 11/15/2016 | 3.500 | 907,173 | 951,494 | |||||||||
630,000 | EXTENDED STAY AMERICA TRUST ESA 2013 ESH7 A27 144A | 12/5/2031 | 2.958 | 636,299 | 610,981 | |||||||||
273,522 | FANNIE MAE FNR 1997 20 F | 3/25/2027 | 0.643 | 263,607 | 268,787 | |||||||||
183,757 | FANNIE MAE FNR 2004 54 FL | 7/25/2034 | 0.566 | 181,862 | 184,514 | |||||||||
171,954 | FANNIE MAE FNR 2004 79 FA | 8/25/2032 | 0.456 | 169,375 | 171,802 | |||||||||
679,944 | FANNIE MAE FNR 2004 79 FM | 11/25/2024 | 0.466 | 680,901 | 681,114 | |||||||||
125,885 | FANNIE MAE FNR 2004 90 GF | 11/25/2034 | 0.466 | 124,547 | 125,910 | |||||||||
123,237 | FANNIE MAE FNR 2005 51 ND | 11/25/2033 | 5.500 | 128,706 | 124,971 | |||||||||
274,645 | FANNIE MAE FNR 2006 104 FV | 11/25/2036 | 0.506 | 263,659 | 274,593 | |||||||||
278,730 | FANNIE MAE FNR 2006 123 PF | 1/25/2037 | 0.425 | 274,201 | 278,509 | |||||||||
134,728 | FANNIE MAE FNR 2006 48 FA | 6/25/2036 | 0.566 | 132,286 | 135,144 | |||||||||
369,792 | FANNIE MAE FNR 2006 72 HF | 8/25/2026 | 0.466 | 368,588 | 370,569 | |||||||||
225,643 | FANNIE MAE FNR 2006 76 QF | 8/25/2036 | 0.566 | 214,925 | 226,684 | |||||||||
104,441 | FANNIE MAE FNR 2006 93 FP | 4/25/2036 | 0.466 | 102,303 | 104,371 | |||||||||
218,566 | FANNIE MAE FNR 2007 2 FM | 2/25/2037 | 0.416 | 217,644 | 218,381 | |||||||||
134,987 | FANNIE MAE FNR 2007 22 FC | 3/25/2037 | 0.586 | 134,755 | 134,606 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
67,053 | FANNIE MAE FNR 2007 67 FA | 4/25/2037 | 0.416 | 66,382 | 66,947 | |||||||||
50,235 | FANNIE MAE FNR 2007 9 FB | 3/25/2037 | 0.516 | 49,584 | 50,265 | |||||||||
555,000 | FANNIE MAE FNR 2010 136 CY | 12/25/2040 | 4.000 | 625,155 | 551,061 | |||||||||
142,087 | FANNIE MAE FNR 2011 3 FA | 2/25/2041 | 0.846 | 141,910 | 142,264 | |||||||||
709,705 | FANNIE MAE FNR 2013 23 AB | 2/25/2043 | 2.000 | 675,994 | 679,278 | |||||||||
325,000 | FANNIE MAE NOTES 03/16 0.5 | 3/30/2016 | 0.500 | 324,630 | 324,651 | |||||||||
400,000 | FANNIE MAE NOTES 05/29 6.25 | 5/15/2029 | 6.250 | 576,073 | 501,457 | |||||||||
800,000 | FANNIE MAE NOTES 08/18 VAR | 8/28/2018 | 1.000 | 800,000 | 801,085 | |||||||||
1,165,000 | FANNIE MAE NOTES 09/18 1.25 | 9/27/2018 | 1.250 | 1,165,000 | 1,136,636 | |||||||||
1,225,000 | FANNIE MAE NOTES 10/17 0.875 | 10/26/2017 | 0.875 | 1,224,935 | 1,204,163 | |||||||||
500,000 | FANNIE MAE NOTES 11/30 6.625 | 11/15/2030 | 6.625 | 781,402 | 650,389 | |||||||||
58,113 | FANNIEMAE GRANTOR TRUST FNGT 2002 T6 A1 | 2/25/2032 | 3.310 | 53,028 | 59,621 | |||||||||
634,908 | FANNIEMAE GRANTOR TRUST FNGT 2003 T4 1A | 9/26/2033 | 0.386 | 609,511 | 628,626 | |||||||||
104,082 | FDIC TRUST FDIC 2011 C1 A 144A | 4/25/2031 | 1.840 | 104,082 | 104,611 | |||||||||
645,631 | FED HM LN PC POOL G14830 | 12/1/2024 | 5.500 | 704,293 | 701,919 | |||||||||
293,000 | FED REPUBLIC OF BRAZIL SR UNSECURED 01/21 4.875 | 1/22/2021 | 4.875 | 312,053 | 309,115 | |||||||||
700,000 | FEDERAL FARM CREDIT BANK 12/23 3.5 | 12/20/2023 | 3.500 | 699,293 | 692,850 | |||||||||
200,000 | FEDERAL HOME LOAN BANK BONDS 03/20 1.875 | 3/13/2020 | 1.875 | 194,914 | 192,804 | |||||||||
100,000 | FEDERAL HOME LOAN BANK BONDS 06/23 3.25 | 6/9/2023 | 3.250 | 100,652 | 99,291 | |||||||||
600,000 | FEDERAL HOME LOAN BANK BONDS 09/21 3 | 9/10/2021 | 3.000 | 614,187 | 602,752 | |||||||||
500,000 | FEDERAL HOME LOAN BANK BONDS 09/23 3.375 | 9/8/2023 | 3.375 | 503,635 | 493,858 | |||||||||
665,000 | FEDERAL HOME LOAN BANK BONDS 12/16 0.625 | 12/28/2016 | 0.625 | 663,098 | 662,212 | |||||||||
745,000 | FEDERAL HOME LOAN BANK BONDS 12/16 0.75 | 12/19/2016 | 0.750 | 745,000 | 741,494 | |||||||||
340,000 | FEDERAL REALTY INVS TRST SR UNSECURED 06/23 2.75 | 6/1/2023 | 2.750 | 335,747 | 305,547 | |||||||||
150,000 | FEDEX CORP COMPANY GUAR 04/23 2.7 | 4/15/2023 | 2.700 | 149,595 | 134,826 | |||||||||
120,756 | FHLMC MULTIFAMILY STRUCTURED P FHMS K001 A2 | 4/25/2016 | 5.651 | 121,360 | 131,234 | |||||||||
165,000 | FHLMC MULTIFAMILY STRUCTURED P FHMS K013 A2 | 1/25/2021 | 3.974 | 166,640 | 174,427 | |||||||||
240,000 | FIDELITY CO OPERATIVE BK CERT OF DEPO 12/17 VAR | 12/21/2017 | 0.750 | 240,000 | 236,323 | |||||||||
175,000 | FIFTH THIRD BANCORP SR UNSECURED 01/16 3.625 | 1/25/2016 | 3.625 | 174,794 | 183,853 | |||||||||
200,000 | FIFTH THIRD BANCORP SUBORDINATED 01/24 4.3 | 1/16/2024 | 4.300 | 199,460 | 195,888 | |||||||||
265,000 | FIFTH THIRD BANK SR UNSECURED 11/16 1.15 | 11/18/2016 | 1.150 | 264,931 | 264,535 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
110,000 | FIRST AMERICAN FINANCIAL SR UNSECURED 02/23 4.3 | 2/1/2023 | 4.300 | 109,602 | 104,774 | |||||||||
529,461 | FIRST FRANKLIN MTG LOAN ASSET FFML 2004 FF4 A1 144A | 6/25/2034 | 0.916 | 524,167 | 521,008 | |||||||||
240,000 | FIRSTBANK PUERTO RICO CERT OF DEPO 10/15 1 | 10/26/2015 | 1.000 | 240,000 | 240,313 | |||||||||
170,000 | FIRSTMERIT CORPORATION SUBORDINATED 02/23 4.35 | 2/4/2023 | 4.350 | 169,946 | 166,548 | |||||||||
220,000 | FLORIDA GAS TRANSMISSION SR UNSECURED 144A 07/20 5.45 | 7/15/2020 | 5.450 | 258,423 | 238,103 | |||||||||
590,000 | FMS WERTMANAGEMENT GOVT GUARANT 04/16 0.625 | 4/18/2016 | 0.625 | 589,676 | 583,884 | |||||||||
689,000 | FMS WERTMANAGEMENT GOVT GUARANT 11/18 1.625 | 11/20/2018 | 1.625 | 687,884 | 680,043 | |||||||||
(3,400,000 | ) | FNMA CONV 15YR TBA | 12/1/2099 | 2.500 | (3,370,781 | ) | (3,364,938 | ) | ||||||
400,000 | FNMA CONV. 30YR | 12/1/2099 | 2.500 | 361,438 | 361,969 | |||||||||
473,046 | FNMA POOL 467288 | 3/1/2018 | 2.800 | 456,157 | 493,442 | |||||||||
420,000 | FNMA POOL 468123 | 5/1/2018 | 3.840 | 426,038 | 453,129 | |||||||||
2,911,942 | FNMA POOL 735028 | 9/1/2014 | 5.747 | 3,062,545 | 2,942,253 | |||||||||
543,034 | FNMA POOL 995756 | 12/1/2018 | 5.000 | 575,276 | 578,587 | |||||||||
492,485 | FNMA POOL AL2293 | 6/1/2021 | 4.374 | 567,127 | 534,634 | |||||||||
998,863 | FNMA POOL AS1376 | 12/1/2043 | 4.000 | 1,034,135 | 1,028,922 | |||||||||
3,608,802 | FNMA POOL AT2062 | 4/1/2028 | 2.500 | 3,620,643 | 3,575,745 | |||||||||
1,099,706 | FNMA POOL AU7034 | 11/1/2043 | 4.000 | 1,137,509 | 1,132,801 | |||||||||
392,113 | FNMA POOL AV0605 | 11/1/2043 | 4.000 | 409,758 | 403,913 | |||||||||
287,298 | FNMA POOL FN0004 | 12/1/2020 | 3.632 | 278,758 | 298,799 | |||||||||
286,907 | FNMA POOL FN0009 | 10/1/2020 | 3.416 | 274,534 | 296,242 | |||||||||
1,305,000 | FORD CREDIT FLOORPLAN MASTER O FORDF 2012 2 A | 1/15/2019 | 1.920 | 1,304,618 | 1,329,033 | |||||||||
150,000 | FORD MOTOR CREDIT CO LLC SR UNSECURED 01/17 1.5 | 1/17/2017 | 1.500 | 149,859 | 149,933 | |||||||||
245,000 | FORD MOTOR CREDIT CO LLC SR UNSECURED 01/18 2.375 | 1/16/2018 | 2.375 | 244,035 | 247,440 | |||||||||
525,000 | FORD MOTOR CREDIT CO LLC SR UNSECURED 05/18 5. | 5/15/2018 | 5.000 | 580,688 | 584,802 | |||||||||
175,000 | FORD MOTOR CREDIT CO LLC SR UNSECURED 08/21 5.875 | 8/2/2021 | 5.875 | 200,358 | 198,399 | |||||||||
440,000 | FORD MOTOR CREDIT CO LLC SR UNSECURED 10/18 2.875 | 10/1/2018 | 2.875 | 439,837 | 450,382 | |||||||||
282,519 | FREDDIE MAC FHR 2395 FD | 5/15/2029 | 0.768 | 284,285 | 284,440 | |||||||||
3,564 | FREDDIE MAC FHR 2614 NA | 4/15/2033 | 3.750 | 3,640 | 3,581 | |||||||||
9,854 | FREDDIE MAC FHR 2628 LE | 6/15/2033 | 3.250 | 9,965 | 10,104 | |||||||||
6,810 | FREDDIE MAC FHR 2736 BD | 4/15/2032 | 5.000 | 7,142 | 6,805 | |||||||||
128,198 | FREDDIE MAC FHR 2890 PD | 3/15/2033 | 5.000 | 135,209 | 129,089 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
507,807 | FREDDIE MAC FHR 3128 JF | 3/15/2036 | 0.537 | 503,363 | 508,206 | |||||||||
522,981 | FREDDIE MAC FHR 3325 EF | 6/15/2037 | 0.667 | 526,250 | 523,897 | |||||||||
230,847 | FREDDIE MAC FHR 3387 FD | 11/15/2037 | 0.747 | 230,342 | 231,969 | |||||||||
160,270 | FREDDIE MAC FHR 3565 XA | 8/15/2022 | 4.000 | 165,879 | 163,033 | |||||||||
490,577 | FREDDIE MAC FHR 3730 JG | 9/15/2039 | 3.000 | 508,208 | 503,630 | |||||||||
961,867 | FREDDIE MAC FHR 3804 ED | 7/15/2040 | 3.000 | 999,427 | 974,532 | |||||||||
373,529 | FREDDIE MAC FHR 3820 PA | 7/15/2019 | 4.000 | 385,552 | 386,534 | |||||||||
592,318 | FREDDIE MAC FHR 3879 MF | 9/15/2038 | 0.517 | 593,313 | 593,619 | |||||||||
769,638 | FREDDIE MAC FHR 4097 BG | 12/15/2041 | 2.000 | 787,436 | 739,093 | |||||||||
633,209 | FREDDIE MAC FHR 4150 BU | 2/15/2042 | 4.000 | 695,936 | 669,020 | |||||||||
1,200,000 | FREDDIE MAC NOTES 01/22 2.375 | 1/13/2022 | 2.375 | 1,239,385 | 1,147,158 | |||||||||
1,375,000 | FREDDIE MAC NOTES 01/22 2.375 | 1/13/2022 | 2.375 | 1,342,555 | 1,314,452 | |||||||||
810,000 | FREDDIE MAC NOTES 03/16 0.6 | 3/28/2016 | 0.600 | 810,000 | 810,561 | |||||||||
2,330,000 | FREDDIE MAC NOTES 05/17 1.25 | 5/12/2017 | 1.250 | 2,329,888 | 2,345,979 | |||||||||
1,620,000 | FREDDIE MAC NOTES 07/18 2.02 | 7/16/2018 | 2.020 | 1,620,000 | 1,623,681 | |||||||||
628,000 | FREDDIE MAC NOTES 09/17 1. | 9/27/2017 | 1.000 | 627,812 | 619,836 | |||||||||
200,000 | FREDDIE MAC NOTES 10/19 1.25 | 10/2/2019 | 1.250 | 199,050 | 189,467 | |||||||||
715,000 | FREDDIE MAC NOTES 10/19 1.25 | 10/2/2019 | 1.250 | 713,520 | 677,346 | |||||||||
199,000 | FREEPORT MCMORAN C + G SR UNSECURED 03/17 2.15 | 3/1/2017 | 2.150 | 200,456 | 200,297 | |||||||||
150,000 | FREEPORT MCMORAN C + G SR UNSECURED 03/22 3.55 | 3/1/2022 | 3.550 | 148,565 | 142,560 | |||||||||
265,000 | GATX CORP SR UNSECURED 03/19 2.5 | 3/15/2019 | 2.500 | 263,577 | 262,749 | |||||||||
220,000 | GAZPROM (GAZ CAPITAL SA) SR UNSECURED REGS 07/22 4.95 | 7/19/2022 | 4.950 | 234,146 | 213,400 | |||||||||
484,349 | GCO EDUCATION LOAN FUNDING TRU GCOE 2007 1A A5L 144A | 5/25/2023 | 0.308 | 478,446 | 477,758 | |||||||||
295,000 | GDF SUEZ SR UNSECURED 144A 10/22 2.875 | 10/10/2022 | 2.875 | 291,457 | 275,798 | |||||||||
240,000 | GE CAPITAL BANK CERT OF DEPO 11/14 1.55 | 11/17/2014 | 1.550 | 240,000 | 241,843 | |||||||||
240,000 | GE CAPITAL RETAIL BANK CERT OF DEPO 12/16 2.1 | 12/29/2016 | 2.100 | 240,000 | 245,248 | |||||||||
800,000 | GE COMMERCIAL MORTGAGE CORPORA GECMC 2005 C1 A5 | 6/10/2048 | 4.772 | 863,750 | 829,620 | |||||||||
850,000 | GE DEALER FLOORPLAN MASTER NOT GEDFT 2012 3 A | 6/20/2017 | 0.657 | 852,789 | 852,278 | |||||||||
270,000 | GENERAL DYNAMICS CORP COMPANY GUAR 11/22 2.25 | 11/15/2022 | 2.250 | 267,265 | 242,425 | |||||||||
240,000 | GENERAL ELEC CAP CORP SR UNSECURED 01/16 1. | 1/8/2016 | 1.000 | 239,230 | 240,600 | |||||||||
1,025,000 | GENERAL ELEC CAP CORP SR UNSECURED 01/17 2.9 | 1/9/2017 | 2.900 | 1,068,009 | 1,070,069 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
230,000 | GENERAL ELEC CAP CORP SR UNSECURED 01/21 4.625 | 1/7/2021 | 4.625 | 253,368 | 250,803 | |||||||||
1,200,000 | GENERAL ELEC CAP CORP SR UNSECURED 01/23 3.1 | 1/9/2023 | 3.100 | 1,190,688 | 1,138,510 | |||||||||
500,000 | GENERAL ELEC CAP CORP SR UNSECURED 05/17 VAR | 5/30/2017 | 1.450 | 500,000 | 492,166 | |||||||||
365,000 | GENERAL ELEC CAP CORP SR UNSECURED 05/20 5.55 | 5/4/2020 | 5.550 | 421,909 | 420,015 | |||||||||
360,000 | GENERAL ELEC CAP CORP SR UNSECURED 06/15 2.375 | 6/30/2015 | 2.375 | 369,313 | 369,454 | |||||||||
505,000 | GENERAL ELEC CAP CORP SR UNSECURED 07/16 VAR | 7/12/2016 | 0.894 | 505,000 | 508,543 | |||||||||
160,000 | GENERAL ELECTRIC CO SR UNSECURED 10/22 2.7 | 10/9/2022 | 2.700 | 161,234 | 149,760 | |||||||||
100,000 | GENWORTH HOLDINGS INC COMPANY GUAR 02/21 7.2 | 2/15/2021 | 7.200 | 117,063 | 116,121 | |||||||||
175,000 | GENWORTH HOLDINGS INC COMPANY GUAR 09/21 7.625 | 9/24/2021 | 7.625 | 209,125 | 208,249 | |||||||||
100,000 | GENWORTH HOLDINGS INC COMPANY GUAR 12/16 8.625 | 12/15/2016 | 8.625 | 121,125 | 118,744 | |||||||||
410,000 | GENZYME CORP COMPANY GUAR 06/15 3.625 | 6/15/2015 | 3.625 | 435,729 | 428,159 | |||||||||
1,000,000 | GLAXOSMITHKLINE CAP INC COMPANY GUAR 05/18 5.65 | 5/15/2018 | 5.650 | 1,221,150 | 1,151,140 | |||||||||
345,000 | GLAXOSMITHKLINE CAPITAL COMPANY GUAR 05/17 1.5 | 5/8/2017 | 1.500 | 349,150 | 345,154 | |||||||||
275,000 | GLAXOSMITHKLINE CAPITAL COMPANY GUAR 05/22 2.85 | 5/8/2022 | 2.850 | 263,750 | 259,365 | |||||||||
155,264 | GNMA POOL 752842 | 7/15/2025 | 3.950 | 155,459 | 160,560 | |||||||||
140,000 | GOLDCORP INC SR UNSECURED 03/18 2.125 | 3/15/2018 | 2.125 | 139,336 | 137,213 | |||||||||
240,000 | GOLDMAN SACHS BANK USA CERT OF DEPO 11/14 1.5 | 11/17/2014 | 1.500 | 240,000 | 241,740 | |||||||||
75,000 | GOLDMAN SACHS GROUP INC SR UNSECURED 01/22 5.75 | 1/24/2022 | 5.750 | 84,701 | 84,427 | |||||||||
395,000 | GOLDMAN SACHS GROUP INC SR UNSECURED 01/22 5.75 | 1/24/2022 | 5.750 | 449,330 | 444,647 | |||||||||
210,000 | GOLDMAN SACHS GROUP INC SR UNSECURED 01/23 3.625 | 1/22/2023 | 3.625 | 202,182 | 203,354 | |||||||||
365,000 | GOLDMAN SACHS GROUP INC SR UNSECURED 03/16 VAR | 3/22/2016 | 0.696 | 358,496 | 363,748 | |||||||||
315,000 | GOLDMAN SACHS GROUP INC SR UNSECURED 04/18 VAR | 4/30/2018 | 1.436 | 315,000 | 318,721 | |||||||||
490,000 | GOLDMAN SACHS GROUP INC SR UNSECURED 08/15 3.7 | 8/1/2015 | 3.700 | 519,116 | 510,233 | |||||||||
329,044 | GOVERNMENT NATIONAL MORTGAGE A GNR 2002 21 FV | 3/16/2032 | 0.567 | 329,969 | 329,591 | |||||||||
690,570 | GOVERNMENT NATIONAL MORTGAGE A GNR 2004 59 FH | 8/16/2034 | 0.418 | 691,001 | 693,879 | |||||||||
642,825 | GOVERNMENT NATIONAL MORTGAGE A GNR 2009 24 PA | 9/20/2038 | 4.000 | 676,172 | 673,545 | |||||||||
750,616 | GOVERNMENT NATIONAL MORTGAGE A GNR 2011 121 FA | 3/16/2043 | 0.568 | 752,569 | 732,079 | |||||||||
713,596 | GOVERNMENT NATIONAL MORTGAGE A GNR 2013 98 DM | 7/20/2042 | 3.500 | 744,816 | 743,405 | |||||||||
505,000 | GTE CORP COMPANY GUAR 04/18 6.84 | 4/15/2018 | 6.840 | 584,689 | 588,202 | |||||||||
415,000 | GTE CORP COMPANY GUAR 11/21 8.75 | 11/1/2021 | 8.750 | 547,846 | 525,353 | |||||||||
175,000 | GULF SOUTH PIPELINE SR UNSECURED 144A 08/17 6.3 | 8/15/2017 | 6.300 | 174,617 | 197,619 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
150,000 | HALLIBURTON CO SR UNSECURED 08/16 1 | 8/1/2016 | 1.000 | 149,886 | 150,249 | |||||||||
128,000 | HARTFORD FINL SVCS GRP SR UNSECURED 01/19 6 | 1/15/2019 | 6.000 | 149,526 | 146,805 | |||||||||
155,000 | HARTFORD FINL SVCS GRP SR UNSECURED 03/20 5.5 | 3/30/2020 | 5.500 | 178,210 | 174,214 | |||||||||
715,000 | HASHEMITE KINGDOM OF JOR US GOVT GUAR 10/20 2.503 | 10/30/2020 | 2.503 | 715,000 | 700,302 | |||||||||
600,000 | HCP INC SR UNSECURED 01/17 6 | 1/30/2017 | 6.000 | 649,500 | 672,439 | |||||||||
155,000 | HEALTH CARE REIT INC SR UNSECURED 01/24 4.5 | 1/15/2024 | 4.500 | 153,385 | 153,039 | |||||||||
750,000 | HEWLETT PACKARD CO SR UNSECURED 09/16 3 | 9/15/2016 | 3.000 | 770,558 | 780,166 | |||||||||
225,000 | HOME DEPOT INC SR UNSECURED 02/24 3.75 | 2/15/2024 | 3.750 | 223,832 | 223,950 | |||||||||
225,000 | HONEYWELL INTERNATIONAL SR UNSECURED 12/23 3.35 | 12/1/2023 | 3.350 | 223,614 | 220,309 | |||||||||
290,000 | HUMANA INC SR UNSECURED 12/22 3.15 | 12/1/2022 | 3.150 | 288,869 | 268,456 | |||||||||
495,000 | HUNTINGTON NATIONAL BANK SR UNSECURED 08/16 1.35 | 8/2/2016 | 1.350 | 494,332 | 497,004 | |||||||||
340,000 | HUTCHISON WHAM INT 09/16 COMPANY GUAR 144A 09/15 4.625 | 9/11/2015 | 4.625 | 366,248 | 359,795 | |||||||||
525,000 | IBM CORP SR UNSECURED 02/15 0.55 | 2/6/2015 | 0.550 | 522,433 | 525,778 | |||||||||
670,000 | IBM CORP SR UNSECURED 05/15 0.75 | 5/11/2015 | 0.750 | 668,888 | 672,950 | |||||||||
350,000 | IBM CORP SR UNSECURED 05/20 1.625 | 5/15/2020 | 1.625 | 347,372 | 328,206 | |||||||||
360,000 | IBM CORP SR UNSECURED 08/22 1.875 | 8/1/2022 | 1.875 | 319,136 | 314,619 | |||||||||
315,000 | IBM CORP SR UNSECURED 08/23 3.375 | 8/1/2023 | 3.375 | 313,992 | 306,906 | |||||||||
125,000 | INGREDION INC SR UNSECURED 09/17 1.8 | 9/25/2017 | 1.800 | 124,298 | 121,832 | |||||||||
1,000,000 | INTEL CORP SR UNSECURED 10/16 1.95 | 10/1/2016 | 1.950 | 1,014,390 | 1,027,997 | |||||||||
325,000 | INTEL CORP SR UNSECURED 10/21 3.3 | 10/1/2021 | 3.300 | 333,050 | 322,885 | |||||||||
140,000 | INTEL CORP SR UNSECURED 10/21 3.3 | 10/1/2021 | 3.300 | 139,667 | 139,089 | |||||||||
275,000 | INTESA SANPAOLO SPA BANK GUARANT 01/19 3.875 | 1/15/2019 | 3.875 | 274,948 | 273,409 | |||||||||
350,000 | INTESA SANPAOLO SPA SR UNSECURED 01/18 3.875 | 1/16/2018 | 3.875 | 350,286 | 358,393 | |||||||||
600,000 | INTL FINANCE CORP UNSECURED 06/18 0.875 | 6/15/2018 | 0.875 | 597,972 | 579,308 | |||||||||
1,100,000 | INTL FINANCE CORP UNSECURED 06/18 0.875 | 6/15/2018 | 0.875 | 1,096,282 | 1,062,064 | |||||||||
420,000 | INVESCO FINANCE PLC 01/24 4 | 1/30/2024 | 4.000 | 416,993 | 416,296 | |||||||||
135,000 | JERSEY CENTRAL PWR + LT SR UNSECURED 02/19 7.35 | 2/1/2019 | 7.350 | 134,829 | 159,422 | |||||||||
325,000 | JERSEY CENTRAL PWR + LT SR UNSECURED 05/16 5.625 | 5/1/2016 | 5.625 | 359,164 | 353,093 | |||||||||
1,000,000 | JOHN DEERE CAPITAL CORP SR UNSECURED 01/17 2. | 1/13/2017 | 2.000 | 1,015,860 | 1,016,945 | |||||||||
750,000 | JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP3 A4B | 8/15/2042 | 4.996 | 798,327 | 793,849 | |||||||||
50,287 | JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP7 A3A | 4/15/2045 | 5.863 | 52,157 | 50,270 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
400,000 | JP MORGAN CHASE COMMERCIAL MOR JPMCC 2011 PLSD A2 144A | 11/13/2044 | 3.364 | 399,875 | 419,146 | |||||||||
500,000 | JPMORGAN CHASE + CO SR UNSECURED 01/14 VAR | 1/24/2014 | 1.038 | 504,080 | 500,262 | |||||||||
290,000 | JPMORGAN CHASE + CO SR UNSECURED 01/18 6. | 1/15/2018 | 6.000 | 345,668 | 333,928 | |||||||||
320,000 | JPMORGAN CHASE + CO SR UNSECURED 01/18 VAR | 1/25/2018 | 1.138 | 320,000 | 322,983 | |||||||||
125,000 | JPMORGAN CHASE + CO SR UNSECURED 01/22 4.5 | 1/24/2022 | 4.500 | 132,748 | 132,216 | |||||||||
400,000 | JPMORGAN CHASE + CO SR UNSECURED 01/22 4.5 | 1/24/2022 | 4.500 | 417,084 | 423,092 | |||||||||
130,000 | JPMORGAN CHASE + CO SR UNSECURED 01/23 3.2 | 1/25/2023 | 3.200 | 125,111 | 123,243 | |||||||||
525,000 | JPMORGAN CHASE + CO SR UNSECURED 02/16 VAR | 2/26/2016 | 0.857 | 525,000 | 527,158 | |||||||||
200,000 | JPMORGAN CHASE + CO SR UNSECURED 07/20 4.4 | 7/22/2020 | 4.400 | 200,156 | 214,992 | |||||||||
435,000 | JPMORGAN CHASE + CO SR UNSECURED 08/17 2 | 8/15/2017 | 2.000 | 441,417 | 441,244 | |||||||||
150,000 | JPMORGAN CHASE + CO SR UNSECURED 08/21 4.35 | 8/15/2021 | 4.350 | 147,707 | 158,088 | |||||||||
45,000 | JPMORGAN CHASE + CO SR UNSECURED 09/22 3.25 | 9/23/2022 | 3.250 | 45,645 | 43,124 | |||||||||
200,000 | JPMORGAN CHASE + CO SR UNSECURED 09/22 3.25 | 9/23/2022 | 3.250 | 204,587 | 191,664 | |||||||||
165,000 | JPMORGAN CHASE + CO SR UNSECURED 09/22 3.25 | 9/23/2022 | 3.250 | 164,110 | 158,123 | |||||||||
625,000 | JPMORGAN CHASE + CO SR UNSECURED 10/20 4.25 | 10/15/2020 | 4.250 | 672,310 | 662,523 | |||||||||
240,000 | KATAHDIN TRUST CO CERT OF DEPO 10/18 VAR | 10/24/2018 | 1.000 | 240,000 | 239,416 | |||||||||
425,000 | KEY BANK NA SUBORDINATED 03/16 5.45 | 3/3/2016 | 5.450 | 460,517 | 462,511 | |||||||||
135,000 | KEYCORP SR UNSECURED 12/18 2.3 | 12/13/2018 | 2.300 | 134,915 | 134,021 | |||||||||
360,000 | KINDER MORGAN ENER PART SR UNSECURED 02/19 2.65 | 2/1/2019 | 2.650 | 359,489 | 356,008 | |||||||||
410,000 | KINDER MORGAN ENER PART SR UNSECURED 02/19 2.65 | 2/1/2019 | 2.650 | 409,418 | 405,453 | |||||||||
605,000 | KOMMUNALBANKEN AS SR UNSECURED 144A 01/15 VAR | 1/26/2015 | 0.258 | 605,000 | 604,815 | |||||||||
200,000 | KOREA DEVELOPMENT BANK SR UNSECURED 01/16 1. | 1/22/2016 | 1.000 | 199,030 | 198,331 | |||||||||
450,000 | LAB CORP OF AMER HLDGS SR UNSECURED 11/18 2.5 | 11/1/2018 | 2.500 | 449,622 | 443,812 | |||||||||
774,185 | LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2005 C7 A3 | 11/15/2030 | 5.455 | 812,894 | 801,501 | |||||||||
462,717 | LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C3 A1A | 3/15/2039 | 5.641 | 505,608 | 501,262 | |||||||||
300,000 | LIFE TECHNOLOGIES CORP SR UNSECURED 01/21 5. | 1/15/2021 | 5.000 | 318,099 | 324,808 | |||||||||
200,000 | LLOYDS BANK PLC BANK GUARANT 11/18 2.3 | 11/27/2018 | 2.300 | 199,680 | 199,481 | |||||||||
165,000 | LORILLARD TOBACCO CO COMPANY GUAR 05/23 3.75 | 5/20/2023 | 3.750 | 164,946 | 150,211 | |||||||||
235,000 | LOWE S COMPANIES INC SR UNSECURED 09/23 3.875 | 9/15/2023 | 3.875 | 233,592 | 236,278 | |||||||||
345,000 | LYONDELLBASELL IND NV SR UNSECURED 11/21 6. | 11/15/2021 | 6.000 | 393,359 | 396,789 | |||||||||
165,000 | MANUF + TRADERS TRUST CO SR UNSECURED 03/18 1.45 | 3/7/2018 | 1.450 | 164,921 | 160,640 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
775,000 | MANULIFE FINANCIAL CORP SR UNSECURED 09/15 3.4 | 9/17/2015 | 3.400 | 773,869 | 806,720 | |||||||||
135,000 | MARKEL CORPORATION SR UNSECURED 03/23 3.625 | 3/30/2023 | 3.625 | 134,783 | 127,062 | |||||||||
315,000 | MARSH + MCLENNAN COS INC SR UNSECURED 10/23 4.05 | 10/15/2023 | 4.050 | 320,550 | 310,329 | |||||||||
455,000 | MAXIM INTEGRATED PRODUCT SR UNSECURED 11/18 2.5 | 11/15/2018 | 2.500 | 452,993 | 451,155 | |||||||||
400,000 | MCKESSON CORP SR UNSECURED 03/21 4.75 | 3/1/2021 | 4.750 | 447,648 | 423,719 | |||||||||
500,000 | MELLON FUNDING CORP COMPANY GUAR 05/14 VAR | 5/15/2014 | 0.391 | 494,715 | 500,153 | |||||||||
340,000 | MERCK + CO INC SR UNSECURED 05/18 VAR | 5/18/2018 | 0.598 | 340,000 | 340,892 | |||||||||
345,000 | MERCK + CO INC SR UNSECURED 09/22 2.4 | 9/15/2022 | 2.400 | 344,879 | 315,134 | |||||||||
329,137 | MERRILL LYNCH MORTGAGE TRUST MLMT 2005 CIP1 A2 | 7/12/2038 | 4.960 | 333,097 | 329,420 | |||||||||
1,420,585 | MERRILL LYNCH MORTGAGE TRUST MLMT 2006 C1 A1A | 5/12/2039 | 5.866 | 1,552,599 | 1,544,508 | |||||||||
600,000 | MET LIFE GLOB FUNDING I SR SECURED 144A 06/14 5.125 | 6/10/2014 | 5.125 | 626,892 | 612,435 | |||||||||
445,000 | METLIFE INC SR UNSECURED 09/23 4.368 | 9/15/2023 | 1.923 | 449,826 | 454,294 | |||||||||
750,000 | METLIFE INSTITUTIONAL FD SECURED 144A 04/14 VAR | 4/4/2014 | 1.144 | 754,500 | 751,622 | |||||||||
420,000 | MICROSOFT CORP SR UNSECURED 12/18 1.625 | 12/6/2018 | 1.625 | 417,577 | 414,278 | |||||||||
215,000 | MIDAMERICAN ENERGY CO 1ST MORTGAGE 03/18 5.3 | 3/15/2018 | 5.300 | 250,587 | 243,661 | |||||||||
675,000 | MIDAMERICAN ENERGY CO 1ST MORTGAGE 07/17 5.95 | 7/15/2017 | 5.950 | 798,201 | 774,569 | |||||||||
825,000 | MIDAMERICAN ENERGY HLDGS SR UNSECURED 04/18 5.75 | 4/1/2018 | 5.750 | 872,157 | 941,732 | |||||||||
578,296 | ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 3 A1A | 7/12/2046 | 5.409 | 637,571 | 632,097 | |||||||||
553,000 | ML CFC COMMERCIAL MORTGAGE TRU MLCFC 2006 4 A1A | 12/12/2049 | 5.166 | 620,072 | 602,799 | |||||||||
750,000 | MONSANTO CO SR UNSECURED 04/16 2.75 | 4/15/2016 | 2.750 | 797,532 | 781,899 | |||||||||
650,064 | MORGAN STANLEY CAPITAL I TRUST MSC 2007 IQ13 A1A | 3/15/2044 | 5.312 | 720,532 | 712,116 | |||||||||
350,000 | MORGAN STANLEY NOTES 04/18 6.625 | 4/1/2018 | 6.625 | 413,466 | 409,533 | |||||||||
925,000 | MORGAN STANLEY NOTES 04/18 6.625 | 4/1/2018 | 6.625 | 992,346 | 1,082,337 | |||||||||
230,000 | MORGAN STANLEY SR UNSECURED 02/23 3.75 | 2/25/2023 | 3.750 | 224,528 | 223,805 | |||||||||
330,000 | MORGAN STANLEY SR UNSECURED 04/18 2.125 | 4/25/2018 | 2.125 | 329,766 | 327,154 | |||||||||
340,000 | MORGAN STANLEY SR UNSECURED 10/15 5.375 | 10/15/2015 | 5.375 | 366,476 | 365,694 | |||||||||
165,000 | MORGAN STANLEY SUBORDINATED 05/23 4.1 | 5/22/2023 | 4.100 | 154,358 | 159,679 | |||||||||
100,000 | MYLAN INC COMPANY GUAR 144A 07/20 7.875 | 7/15/2020 | 7.875 | 118,188 | 113,154 | |||||||||
605,000 | MYLAN INC COMPANY GUAR 144A 07/20 7.875 | 7/15/2020 | 7.875 | 702,521 | 684,583 | |||||||||
200,000 | MYLAN INC SR UNSECURED 11/16 1.35 | 11/29/2016 | 1.350 | 199,882 | 199,633 | |||||||||
620,000 | NATIONAL BANK OF CANADA BANK GUARANT 06/15 1.5 | 6/26/2015 | 1.500 | 618,500 | 627,993 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
330,000 | NATIONAL RURAL UTIL COOP COLLATERAL T 11/23 3.4 | 11/15/2023 | 3.400 | 329,746 | 319,321 | |||||||||
355,000 | NATL CITY BANK CLEV OH SUBORDINATED 06/17 5.8 | 6/7/2017 | 5.800 | 372,279 | 400,114 | |||||||||
360,000 | NBCUNIVERSAL ENTERPRISE COMPANY GUAR 144A 04/19 1.974 | 4/15/2019 | 1.974 | 359,795 | 347,821 | |||||||||
335,000 | NBCUNIVERSAL ENTERPRISE COMPANY GUAR 144A 04/19 1.974 | 4/15/2019 | 1.974 | 334,809 | 327,690 | |||||||||
300,000 | NBCUNIVERSAL MEDIA LLC COMPANY GUAR 04/21 4.375 | 4/1/2021 | 4.375 | 329,541 | 317,527 | |||||||||
835,000 | NCUA GUARANTEED NOTES NGN 2010 C1 A2 | 10/29/2020 | 2.900 | 841,281 | 862,521 | |||||||||
2,316,683 | NCUA GUARANTEED NOTES NGN 2010 C1 APT | 10/29/2020 | 2.650 | 2,323,849 | 2,380,009 | |||||||||
220,000 | NCUA GUARANTEED NOTES US GOVT GUAR 06/15 1.4 | 6/12/2015 | 1.400 | 219,694 | 223,395 | |||||||||
635,000 | NCUA GUARANTEED NOTES US GOVT GUAR 06/17 2.35 | 6/12/2017 | 2.350 | 634,543 | 661,365 | |||||||||
410,000 | NCUA GUARANTEED NOTES US GOVT GUAR 06/19 3. | 6/12/2019 | 3.000 | 409,565 | 428,860 | |||||||||
1,120,000 | NCUA GUARANTEED NOTES US GOVT GUAR 06/21 3.45 | 6/12/2021 | 3.450 | 1,115,968 | 1,167,376 | |||||||||
715,000 | NEDER WATERSCHAPSBANK SR UNSECURED 03/15 3 | 3/17/2015 | 3.000 | 752,262 | 737,411 | |||||||||
150,000 | NETAPP INC SR UNSECURED 12/17 2 | 12/15/2017 | 2.000 | 149,241 | 149,230 | |||||||||
580,000 | NEW YORK LIFE GLOBAL FDG SECURED 144A 05/17 1.65 | 5/15/2017 | 1.650 | 578,962 | 580,637 | |||||||||
810,000 | NEW YORK LIFE GLOBAL FDG SECURED 144A 07/15 0.75 | 7/24/2015 | 0.750 | 809,279 | 811,707 | |||||||||
300,000 | NEXTERA ENERGY CAPITAL COMPANY GUAR 09/15 1.339 | 9/1/2015 | 1.339 | 301,095 | 301,998 | |||||||||
285,000 | NEXTERA ENERGY CAPITAL COMPANY GUAR 09/15 1.339 | 9/1/2015 | 1.339 | 286,040 | 286,898 | |||||||||
710,000 | NISSAN MASTER OWNER TRUST RECE NMOTR 2013 A A | 2/15/2018 | 0.467 | 710,000 | 708,715 | |||||||||
400,000 | NORTHERN ROCK ASSET MANA COVERED 144A 06/17 5.625 | 6/22/2017 | 5.625 | 464,371 | 450,796 | |||||||||
245,000 | NORTHROP GRUMMAN CORP SR UNSECURED 08/23 3.25 | 8/1/2023 | 3.250 | 243,682 | 228,525 | |||||||||
225,000 | NOVARTIS CAPITAL CORP COMPANY GUAR 09/22 2.4 | 9/21/2022 | 2.400 | 208,787 | 206,287 | |||||||||
385,000 | NUCOR CORP SR UNSECURED 08/23 4. | 8/1/2023 | 4.000 | 384,715 | 375,829 | |||||||||
280,000 | OMNICOM GROUP INC COMPANY GUAR 07/19 6.25 | 7/15/2019 | 6.250 | 326,088 | 323,203 | |||||||||
160,000 | ONCOR ELECTRIC DELIVERY SR SECURED 06/22 4.1 | 6/1/2022 | 4.100 | 159,710 | 160,722 | |||||||||
310,000 | ONCOR ELECTRIC DELIVERY SR SECURED 09/17 5. | 9/30/2017 | 5.000 | 332,822 | 340,580 | |||||||||
160,000 | ORACLE CORP SR UNSECURED 07/23 3.625 | 7/15/2023 | 3.625 | 158,557 | 158,715 | |||||||||
240,000 | ORACLE CORP SR UNSECURED 10/22 2.5 | 10/15/2022 | 2.500 | 226,348 | 219,825 | |||||||||
135,000 | PACIFIC GAS + ELECTRIC SR UNSECURED 11/23 3.85 | 11/15/2023 | 3.850 | 134,756 | 134,274 | |||||||||
675,000 | PENSKE TRUCK LEASING/PTL SR UNSECURED 144A 07/22 4.875 | 7/11/2022 | 4.875 | 692,840 | 692,469 | |||||||||
225,000 | PEPSICO INC SR UNSECURED 03/23 2.75 | 3/1/2023 | 2.750 | 209,367 | 208,251 | |||||||||
405,000 | PERRIGO CO PLC COMPANY GUAR 144A 11/18 2.3 | 11/8/2018 | 2.300 | 404,429 | 399,746 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
350,000 | PETROBRAS GLOBAL FINANCE COMPANY GUAR 05/23 4.375 | 5/20/2023 | 4.375 | 345,898 | 311,812 | |||||||||
695,000 | PETROBRAS GLOBAL FINANCE COMPANY GUAR 05/23 4.375 | 5/20/2023 | 4.375 | 686,855 | 619,170 | |||||||||
270,000 | PETROBRAS INTL FIN CO COMPANY GUAR 01/21 5.375 | 1/27/2021 | 5.375 | 281,289 | 267,945 | |||||||||
245,000 | PETROFAC LTD COMPANY GUAR 144A 10/18 3.4 | 10/10/2018 | 3.400 | 244,086 | 244,495 | |||||||||
40,000 | PETROLEOS MEXICANOS COMPANY GUAR 01/24 4.875 | 1/18/2024 | 4.875 | 39,792 | 40,000 | |||||||||
50,000 | PETROLEOS MEXICANOS COMPANY GUAR 07/18 3.5 | 7/18/2018 | 3.500 | 49,771 | 51,313 | |||||||||
400,000 | PFIZER INC SR UNSECURED 03/19 6.2 | 3/15/2019 | 6.200 | 489,496 | 474,172 | |||||||||
920,000 | PFS FINANCING CORP PFSFC 2012 AA A 144A | 2/15/2016 | 1.367 | 920,000 | 920,604 | |||||||||
150,000 | PHILIP MORRIS INTL INC SR UNSECURED 01/19 1.875 | 1/15/2019 | 1.875 | 148,832 | 146,588 | |||||||||
140,000 | PHILIP MORRIS INTL INC SR UNSECURED 05/21 4.125 | 5/17/2021 | 4.125 | 154,477 | 145,585 | |||||||||
440,000 | PHILIP MORRIS INTL INC SR UNSECURED 08/22 2.5 | 8/22/2022 | 2.500 | 433,940 | 401,086 | |||||||||
185,000 | PHILIP MORRIS INTL INC SR UNSECURED 11/23 3.6 | 11/15/2023 | 3.600 | 183,662 | 179,071 | |||||||||
180,000 | PLAINS ALL AMER PIPELINE SR UNSECURED 10/23 3.85 | 10/15/2023 | 3.850 | 177,264 | 175,590 | |||||||||
615,000 | PNC BANK NA SR UNSECURED 10/16 1.3 | 10/3/2016 | 1.300 | 614,434 | 618,524 | |||||||||
125,000 | PNC FINANCIAL SERVICES SR UNSECURED 11/22 VAR | 11/9/2022 | 2.854 | 125,841 | 116,088 | |||||||||
205,000 | PNC FUNDING CORP BANK GUARANT 02/17 5.625 | 2/1/2017 | 5.625 | 224,197 | 227,551 | |||||||||
90,000 | PNC FUNDING CORP BANK GUARANT 11/15 5.25 | 11/15/2015 | 5.250 | 96,587 | 96,647 | |||||||||
305,000 | PRECISION CASTPARTS CORP SR UNSECURED 01/18 1.25 | 1/15/2018 | 1.250 | 304,536 | 296,918 | |||||||||
260,000 | PRECISION CASTPARTS CORP SR UNSECURED 12/15 0.7 | 12/20/2015 | 0.700 | 259,922 | 260,031 | |||||||||
90,000 | PRINCIPAL FINANCIAL GROU COMPANY GUAR 11/17 1.85 | 11/15/2017 | 1.850 | 89,906 | 89,186 | |||||||||
745,000 | PRINCIPAL LIFE INC FDG SR SECURED 04/15 5.55 | 4/27/2015 | 5.550 | 827,710 | 794,370 | |||||||||
725,000 | PROGRESS ENERGY INC SR UNSECURED 01/16 5.625 | 1/15/2016 | 5.625 | 809,571 | 789,180 | |||||||||
300,000 | PROGRESS ENERGY INC SR UNSECURED 03/19 7.05 | 3/15/2019 | 7.050 | 330,531 | 359,579 | |||||||||
340,000 | PROGRESS ENERGY INC SR UNSECURED 04/22 3.15 | 4/1/2022 | 3.150 | 338,745 | 327,373 | |||||||||
250,000 | PRUDENTIAL FINANCIAL INC SR UNSECURED 05/16 3. | 5/12/2016 | 3.000 | 251,735 | 260,345 | |||||||||
290,000 | PUB SVC ELEC + GAS SECURED 05/23 2.375 | 5/15/2023 | 2.375 | 289,075 | 260,758 | |||||||||
205,000 | PUBLIC SERVICE COLORADO 1ST MORTGAGE 06/19 5.125 | 6/1/2019 | 5.125 | 242,755 | 231,119 | |||||||||
325,000 | REGIONS FINANCIAL CORP SR UNSECURED 05/18 2. | 5/15/2018 | 2.000 | 323,915 | 314,701 | |||||||||
250,000 | REINSURANCE GRP OF AMER SR UNSECURED 03/17 5.625 | 3/15/2017 | 5.625 | 247,718 | 275,606 | |||||||||
605,000 | REPUBLIC OF PANAMA SR UNSECURED 01/20 5.2 | 1/30/2020 | 5.200 | 652,940 | 658,694 | |||||||||
325,000 | REPUBLIC OF TURKEY SR UNSECURED 04/18 6.75 | 4/3/2018 | 6.750 | 386,750 | 352,950 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
560,000 | REPUBLIC SERVICES INC COMPANY GUAR 09/19 5.5 | 9/15/2019 | 5.500 | 659,079 | 630,132 | |||||||||
175,000 | REYNOLDS AMERICAN INC COMPANY GUAR 09/23 4.85 | 9/15/2023 | 4.850 | 174,864 | 180,654 | |||||||||
170,000 | REYNOLDS AMERICAN INC COMPANY GUAR 10/15 1.05 | 10/30/2015 | 1.050 | 169,760 | 170,541 | |||||||||
170,000 | RIO TINTO FIN USA LTD COMPANY GUAR 09/21 3.75 | 9/20/2021 | 3.750 | 174,114 | 171,631 | |||||||||
390,000 | RIO TINTO FIN USA PLC 06/16 1.375 | 6/17/2016 | 1.375 | 388,861 | 396,074 | |||||||||
375,000 | ROPER INDUSTRIES INC SR UNSECURED 10/18 2.05 | 10/1/2018 | 2.050 | 374,294 | 364,434 | |||||||||
410,000 | ROSNEFT(ROSNEFT INT FIN) SR UNSECURED 144A 03/22 4.199 | 3/6/2022 | 4.199 | 412,500 | 376,175 | |||||||||
655,000 | ROYAL BANK OF CANADA COVERED 07/17 1.125 | 7/21/2017 | 1.125 | 654,673 | 656,601 | |||||||||
500,000 | ROYAL BANK OF CANADA SR UNSECURED 07/16 2.3 | 7/20/2016 | 2.300 | 523,515 | 516,889 | |||||||||
750,000 | ROYAL BANK OF CANADA SR UNSECURED 10/14 VAR | 10/30/2014 | 0.936 | 752,243 | 754,187 | |||||||||
400,000 | ROYAL BK SCOTLND GRP PLC SR UNSECURED 09/15 2.55 | 9/18/2015 | 2.550 | 399,772 | 409,103 | |||||||||
215,000 | RPM INTERNATIONAL INC SR UNSECURED 11/22 3.45 | 11/15/2022 | 3.450 | 214,723 | 196,334 | |||||||||
165,000 | RYDER SYSTEM INC SR UNSECURED 11/18 2.45 | 11/15/2018 | 2.450 | 164,622 | 163,231 | |||||||||
240,000 | SAFRA NATIONAL BANK CERT OF DEPO 08/17 1.25 | 8/15/2017 | 1.250 | 240,000 | 238,722 | |||||||||
240,000 | SALLIE MAE BANK/SALT LKE CERT OF DEPO 12/14 1.4 | 12/1/2014 | 1.400 | 240,000 | 241,715 | |||||||||
1,000,000 | SAN DIEGO GAS + ELECTRIC 1ST MORTGAGE 11/15 5.3 | 11/15/2015 | 5.300 | 1,151,790 | 1,081,569 | |||||||||
240,000 | SANTANDER BANK NA CERT OF DEPO 09/14 0.8 | 9/5/2014 | 0.800 | 240,000 | 240,608 | |||||||||
75,389 | SANTANDER DRIVE AUTO RECEIVABL SDART 2012 4 A2 | 8/17/2015 | 0.790 | 75,384 | 75,397 | |||||||||
294,537 | SANTANDER DRIVE AUTO RECEIVABL SDART 2012 AA A2 144A | 2/16/2016 | 0.550 | 294,518 | 294,534 | |||||||||
540,000 | SANTANDER DRIVE AUTO RECEIVABL SDART 2012 AA A3 144A | 3/15/2017 | 0.650 | 539,928 | 539,517 | |||||||||
200,000 | SANTANDER HOLDINGS USA SR UNSECURED 04/16 4.625 | 4/19/2016 | 4.625 | 192,094 | 213,271 | |||||||||
175,000 | SANTANDER HOLDINGS USA SR UNSECURED 09/15 3 | 9/24/2015 | 3.000 | 174,487 | 180,714 | |||||||||
631,840 | SBA POOL 507686 SBA 10/30 VARIABLE | 10/25/2030 | 2.000 | 664,814 | 666,507 | |||||||||
555,568 | SBA POOL 508005 SBA 01/19 VARIABLE | 1/25/2019 | 3.080 | 586,125 | 580,087 | |||||||||
264,773 | SBA POOL 508109 SBA 04/19 VARIABLE | 4/25/2019 | 3.575 | 284,631 | 282,464 | |||||||||
710,327 | SBA POOL 508327 SBA 09/16 VARIABLE | 9/25/2016 | 4.330 | 754,057 | 723,959 | |||||||||
259,991 | SBA POOL 508346 SBA 04/19 VARIABLE | 4/25/2019 | 2.575 | 270,066 | 268,799 | |||||||||
313,450 | SBA POOL 508349 SBA 12/19 VARIABLE | 12/25/2019 | 3.575 | 337,057 | 331,986 | |||||||||
420,184 | SBA POOL 508413 SBA 11/19 VARIABLE | 11/25/2019 | 3.545 | 452,748 | 445,698 | |||||||||
538,799 | SBA POOL 508531 SBA 02/19 VARIABLE | 2/25/2019 | 4.325 | 586,954 | 576,786 | |||||||||
817,645 | SBA POOL 508947 SBA 08/22 VARIABLE | 8/25/2022 | 3.000 | 874,369 | 870,962 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
300,000 | SCHLUMBERGER INVESTMENT COMPANY GUAR 144A 09/21 3.3 | 9/14/2021 | 3.300 | 302,578 | 298,259 | |||||||||
100,000 | SCHLUMBERGER INVT SA 12/23 3.65 | 12/1/2023 | 3.650 | 99,660 | 99,129 | |||||||||
1,000,000 | SCHLUMBERGER NORGE AS COMPANY GUAR 144A 09/16 1.95 | 9/14/2016 | 1.950 | 1,015,150 | 1,020,255 | |||||||||
533,218 | SCHOLAR FUNDING TRUST SCHOL 2011 A A 144A | 10/28/2043 | 1.138 | 522,694 | 533,795 | |||||||||
550,000 | SCRIPPS NETWORKS INTERAC SR UNSECURED 12/16 2.7 | 12/15/2016 | 2.700 | 547,003 | 571,814 | |||||||||
450,000 | SEMPRA ENERGY SR UNSECURED 03/14 2 | 3/15/2014 | 2.000 | 457,920 | 451,391 | |||||||||
230,000 | SHELL INTERNATIONAL FIN COMPANY GUAR 08/23 3.4 | 8/12/2023 | 3.400 | 229,517 | 224,170 | |||||||||
360,000 | SHELL INTERNATIONAL FIN COMPANY GUAR 11/16 0.9 | 11/15/2016 | 0.900 | 359,554 | 359,758 | |||||||||
765,000 | SHELL INTERNATIONAL FIN COMPANY GUAR 11/18 2 | 11/15/2018 | 2.000 | 764,786 | 765,930 | |||||||||
1,000,000 | SHERWIN WILLIAMS CO SR UNSECURED 12/14 3.125 | 12/15/2014 | 3.125 | 1,058,360 | 1,024,037 | |||||||||
240,000 | SILVERGATE BANK CERT OF DEPO 05/17 0.9 | 5/26/2017 | 0.900 | 240,000 | 235,168 | |||||||||
350,000 | SIMON PROPERTY GROUP LP SR UNSECURED 02/20 5.65 | 2/1/2020 | 5.650 | 348,674 | 397,942 | |||||||||
130,000 | SIMON PROPERTY GROUP LP SR UNSECURED 03/21 4.375 | 3/1/2021 | 4.375 | 145,406 | 137,454 | |||||||||
175,000 | SIMON PROPERTY GROUP LP SR UNSECURED 12/21 4.125 | 12/1/2021 | 4.125 | 179,388 | 181,037 | |||||||||
850,000 | SLM STUDENT LOAN TRUST SLMA 2008 5 A4 | 7/25/2023 | 1.938 | 895,156 | 888,560 | |||||||||
548,328 | SLM STUDENT LOAN TRUST SLMA 2012 2 A | 1/25/2029 | 0.865 | 548,328 | 550,673 | |||||||||
554,946 | SLM STUDENT LOAN TRUST SLMA 2012 A A1 144A | 8/15/2025 | 1.567 | 554,946 | 560,276 | |||||||||
850,000 | SLM STUDENT LOAN TRUST SLMA 2012 B A2 144A | 10/15/2030 | 3.480 | 849,913 | 887,814 | |||||||||
508,693 | SLM STUDENT LOAN TRUST SLMA 2012 D A1 144A | 6/15/2023 | 1.217 | 508,693 | 510,755 | |||||||||
574,945 | SLM STUDENT LOAN TRUST SLMA 2012 E A1 144A | 10/16/2023 | 0.917 | 574,945 | 575,307 | |||||||||
42,245 | SMALL BUSINESS ADMINISTRATION SBAP 1998 20F 1 | 6/1/2018 | 6.300 | 42,427 | 45,106 | |||||||||
81,150 | SMALL BUSINESS ADMINISTRATION SBIC 2004 P10B 1 | 8/10/2014 | 4.754 | 81,150 | 82,391 | |||||||||
800,000 | SOUTHERN CO SR UNSECURED 09/16 1.95 | 9/1/2016 | 1.950 | 798,784 | 816,414 | |||||||||
175,000 | SOUTHWESTERN BELL TEL CO COMPANY GUAR 07/15 7. | 7/1/2015 | 7.000 | 206,785 | 190,526 | |||||||||
400,000 | SPAREBANK 1 BOLIGKREDITT COVERED 144A 05/17 2.625 | 5/26/2017 | 2.625 | 423,065 | 416,120 | |||||||||
285,000 | SPECTRA ENERGY PARTNERS SR UNSECURED 06/21 4.6 | 6/15/2021 | 4.600 | 289,306 | 295,438 | |||||||||
115,000 | ST JUDE MEDICAL INC SR UNSECURED 04/23 3.25 | 4/15/2023 | 3.250 | 118,192 | 107,293 | |||||||||
235,000 | STARBUCKS CORP SR UNSECURED 10/23 3.85 | 10/1/2023 | 3.850 | 231,637 | 236,372 | |||||||||
240,000 | STATE BANK OF INDIA CERT OF DEPO 06/16 2.15 | 6/28/2016 | 2.150 | 244,087 | 246,450 | |||||||||
260,000 | STATOIL ASA 11/18 1.95 | 11/8/2018 | 1.950 | 259,631 | 257,780 | |||||||||
260,000 | STATOIL ASA COMPANY GUAR 01/24 2.65 | 1/15/2024 | 2.650 | 259,485 | 234,521 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
485,000 | STATOIL ASA COMPANY GUAR 04/19 5.25 | 4/15/2019 | 5.250 | 538,507 | 549,681 | |||||||||
580,000 | STHRN CALIFORNIA ST PUBLIC PWR STNPWR 05/17 FIXED 6.93 | 5/15/2017 | 6.930 | 708,186 | 674,894 | |||||||||
300,000 | STRIP PRINC 05/21 0.00000 | 5/15/2021 | 0.010 | 174,837 | 247,154 | |||||||||
240,000 | SUNTRUST BANK CERT OF DEPO 05/14 VAR | 5/28/2014 | 1.237 | 245,791 | 237,573 | |||||||||
600,000 | SUNTRUST BANKS INC SR UNSECURED 11/18 2.35 | 11/1/2018 | 2.350 | 599,490 | 596,821 | |||||||||
200,000 | SVB FINANCIAL GROUP SR UNSECURED 09/20 5.375 | 9/15/2020 | 5.375 | 198,600 | 220,259 | |||||||||
625,000 | TAKEDA PHARMACEUTICAL SR UNSECURED 144A 03/15 1.031 | 3/17/2015 | 1.031 | 625,000 | 628,126 | |||||||||
205,000 | TCI COMMUNICATIONS INC SR UNSECURED 08/15 8.75 | 8/1/2015 | 8.750 | 263,310 | 230,556 | |||||||||
425,000 | TECH DATA CORP SR UNSECURED 09/17 3.75 | 9/21/2017 | 3.750 | 433,483 | 439,203 | |||||||||
175,000 | TELEFONICA EMISIONES SAU COMPANY GUAR 02/21 5.462 | 2/16/2021 | 5.462 | 180,344 | 184,650 | |||||||||
175,000 | TELEFONICA EMISIONES SAU COMPANY GUAR 04/18 3.192 | 4/27/2018 | 3.192 | 175,000 | 178,223 | |||||||||
600,000 | TENN VALLEY AUTHORITY SR UNSECURED 02/21 3.875 | 2/15/2021 | 3.875 | 651,909 | 633,559 | |||||||||
900,000 | TEVA PHARMA FIN II/III COMPANY GUAR 06/15 3. | 6/15/2015 | 3.000 | 934,911 | 928,832 | |||||||||
330,000 | THERMO FISHER SCIENTIFIC SR UNSECURED 02/17 1.3 | 2/1/2017 | 1.300 | 329,805 | 328,566 | |||||||||
300,000 | THERMO FISHER SCIENTIFIC SR UNSECURED 02/19 2.4 | 2/1/2019 | 2.400 | 299,388 | 297,207 | |||||||||
320,000 | THOMSON REUTERS CORP SR UNSECURED 05/16 0.875 | 5/23/2016 | 0.875 | 319,142 | 317,748 | |||||||||
180,000 | TIME WARNER INC COMPANY GUAR 06/22 3.4 | 6/15/2022 | 3.400 | 179,743 | 175,652 | |||||||||
315,000 | TOTAL CAPITAL INTL SA COMPANY GUAR 01/23 2.7 | 1/25/2023 | 2.700 | 323,275 | 290,570 | |||||||||
475,000 | TOTAL CAPITAL INTL SA COMPANY GUAR 02/22 2.875 | 2/17/2022 | 2.875 | 463,206 | 451,704 | |||||||||
800,000 | TOYOTA MOTOR CREDIT CORP SR UNSECURED 01/14 VAR | 1/15/2014 | 0.494 | 793,432 | 800,085 | |||||||||
110,000 | TOYOTA MOTOR CREDIT CORP SR UNSECURED 06/15 3.2 | 6/17/2015 | 3.200 | 112,796 | 114,394 | |||||||||
440,000 | TOYOTA MOTOR CREDIT CORP SR UNSECURED 10/18 2. | 10/24/2018 | 2.000 | 439,894 | 439,872 | |||||||||
285,000 | TRANS CANADA PIPELINES SR UNSECURED 01/16 0.75 | 1/15/2016 | 0.750 | 284,496 | 284,286 | |||||||||
105,000 | TRANSALTA CORP SR UNSECURED 11/22 4.5 | 11/15/2022 | 4.500 | 103,179 | 100,866 | |||||||||
225,000 | TRANSATLANTIC HOLDINGS SR UNSECURED 12/15 5.75 | 12/14/2015 | 5.750 | 240,368 | 243,898 | |||||||||
175,000 | TRANSOCEAN INC COMPANY GUAR 03/18 6 | 3/15/2018 | 6.000 | 189,028 | 196,253 | |||||||||
505,945 | TSY INFL IX N/B 01/23 0.125 | 1/15/2023 | 0.125 | 542,600 | 477,841 | |||||||||
190,692 | TSY INFL IX N/B 07/23 0.375 | 7/15/2023 | 0.375 | 187,160 | 183,913 | |||||||||
501,820 | TSY INFL IX N/B 07/23 0.375 | 7/15/2023 | 0.375 | 493,109 | 483,982 | |||||||||
629,000 | UBS AG LONDON COVERED 144A 01/15 1.875 | 1/23/2015 | 1.875 | 645,086 | 637,806 | |||||||||
805,000 | UBS AG LONDON COVERED 144A 03/17 0.75 | 3/24/2017 | 0.750 | 802,931 | 809,489 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
183,000 | UBS AG STAMFORD CT SR UNSECURED 04/18 5.75 | 4/25/2018 | 5.750 | 207,765 | 210,093 | |||||||||
200,000 | UDR INC COMPANY GUAR 06/18 4.25 | 6/1/2018 | 4.250 | 197,976 | 211,558 | |||||||||
625,000 | UNION BANK NA SR UNSECURED 06/16 3. | 6/6/2016 | 3.000 | 626,181 | 653,574 | |||||||||
275,000 | UNION BANK NA SR UNSECURED 06/17 2.125 | 6/16/2017 | 2.125 | 274,172 | 276,267 | |||||||||
755,000 | UNION BANK NA SR UNSECURED 09/16 1.5 | 9/26/2016 | 1.500 | 753,082 | 760,532 | |||||||||
150,000 | UNION ELECTRIC CO SR SECURED 02/19 6.7 | 2/1/2019 | 6.700 | 184,199 | 179,974 | |||||||||
254,000 | UNION PACIFIC CORP SR UNSECURED 144A 02/24 3.646 | 2/15/2024 | 3.646 | 269,114 | 245,426 | |||||||||
405,000 | UNIONBANCAL CORP SR UNSECURED 06/22 3.5 | 6/18/2022 | 3.500 | 426,110 | 397,260 | |||||||||
505,000 | UNITED TECHNOLOGIES CORP SR UNSECURED 06/22 3.1 | 6/1/2022 | 3.100 | 528,583 | 493,780 | |||||||||
850,000 | UNITED TECHNOLOGIES CORP SR UNSECURED 12/17 5.375 | 12/15/2017 | 5.375 | 1,025,406 | 968,626 | |||||||||
1,000,000 | UNITEDHEALTH GROUP INC SR UNSECURED 02/14 4.75 | 2/10/2014 | 4.750 | 1,074,820 | 1,004,447 | |||||||||
275,000 | UNITEDHEALTH GROUP INC SR UNSECURED 03/19 1.625 | 3/15/2019 | 1.625 | 273,897 | 264,818 | |||||||||
115,000 | UNITEDHEALTH GROUP INC SR UNSECURED 10/20 3.875 | 10/15/2020 | 3.875 | 123,692 | 121,231 | |||||||||
360,000 | UNIV OF CALIFORNIA CA REVENUES UNVHGR 07/19 FIXED 1.796 | 7/1/2019 | 1.796 | 360,000 | 346,021 | |||||||||
305,000 | UPS OF AMERICA INC SR UNSECURED 04/20 8.375 | 4/1/2020 | 8.375 | 426,591 | 394,559 | |||||||||
310,000 | US BANCORP SR UNSECURED 11/18 1.95 | 11/15/2018 | 1.950 | 309,616 | 308,337 | |||||||||
285,000 | US BANCORP SR UNSECURED 11/18 1.95 | 11/15/2018 | 1.950 | 284,647 | 283,472 | |||||||||
5,410,000 | US TREASURY N/B 01/18 0.875 | 1/31/2018 | 0.875 | 5,389,390 | 5,306,875 | |||||||||
1,200,000 | US TREASURY N/B 01/19 1.25 | 1/31/2019 | 1.250 | 1,221,698 | 1,170,281 | |||||||||
2,700,000 | US TREASURY N/B 02/15 0.25 | 2/28/2015 | 0.250 | 2,701,477 | 2,701,688 | |||||||||
3,105,000 | US TREASURY N/B 02/18 0.75 | 2/28/2018 | 0.750 | 3,061,093 | 3,023,252 | |||||||||
840,000 | US TREASURY N/B 02/20 1.25 | 2/29/2020 | 1.250 | 809,648 | 795,178 | |||||||||
170,000 | US TREASURY N/B 02/20 8.5 | 2/15/2020 | 8.500 | 240,377 | 233,073 | |||||||||
885,000 | US TREASURY N/B 02/22 2 | 2/15/2022 | 2.000 | 860,040 | 839,851 | |||||||||
1,250,000 | US TREASURY N/B 03/15 0.25 | 3/31/2015 | 0.250 | 1,250,555 | 1,250,684 | |||||||||
1,675,000 | US TREASURY N/B 03/15 0.375 | 3/15/2015 | 0.375 | 1,671,862 | 1,678,467 | |||||||||
2,245,000 | US TREASURY N/B 03/16 2.375 | 3/31/2016 | 2.375 | 2,400,609 | 2,341,816 | |||||||||
6,290,000 | US TREASURY N/B 03/18 0.75 | 3/31/2018 | 0.750 | 6,158,294 | 6,111,125 | |||||||||
2,925,000 | US TREASURY N/B 03/19 1.5 | 3/31/2019 | 1.500 | 3,005,633 | 2,876,325 | |||||||||
1,770,000 | US TREASURY N/B 04/15 0.125 | 4/30/2015 | 0.125 | 1,765,765 | 1,767,926 | |||||||||
1,265,000 | US TREASURY N/B 04/15 0.375 | 4/15/2015 | 0.375 | 1,267,619 | 1,267,916 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
2,390,000 | US TREASURY N/B 05/15 0.25 | 5/15/2015 | 0.250 | 2,387,573 | 2,391,494 | |||||||||
1,300,000 | US TREASURY N/B 05/17 0.625 | 5/31/2017 | 0.625 | 1,294,199 | 1,283,039 | |||||||||
585,000 | US TREASURY N/B 05/17 2.75 | 5/31/2017 | 2.750 | 626,686 | 619,369 | |||||||||
1,280,000 | US TREASURY N/B 05/17 4.5 | 5/15/2017 | 4.500 | 1,516,983 | 1,428,401 | |||||||||
4,100 | US TREASURY N/B 05/18 1. | 5/31/2018 | 0.875 | 4,030 | 4,010 | |||||||||
725,000 | US TREASURY N/B 05/18 1. | 5/31/2018 | 1.000 | 720,647 | 709,141 | |||||||||
245,000 | US TREASURY N/B 05/18 3.875 | 5/15/2018 | 3.875 | 257,671 | 270,036 | |||||||||
3,030,000 | US TREASURY N/B 05/19 1.125 | 5/31/2019 | 1.125 | 3,047,017 | 2,908,800 | |||||||||
1,795,000 | US TREASURY N/B 05/20 1.375 | 5/31/2020 | 1.375 | 1,748,729 | 1,701,183 | |||||||||
2,680,000 | US TREASURY N/B 05/20 3.5 | 5/15/2020 | 3.500 | 2,888,040 | 2,891,259 | |||||||||
100,000 | US TREASURY N/B 05/42 3. | 5/15/2042 | 3.000 | 95,701 | 83,859 | |||||||||
985,000 | US TREASURY N/B 06/14 0.75 | 6/15/2014 | 0.750 | 994,631 | 987,848 | |||||||||
3,370,000 | US TREASURY N/B 06/15 0.375 | 6/15/2015 | 0.375 | 3,374,723 | 3,377,107 | |||||||||
1,330,000 | US TREASURY N/B 06/16 0.5 | 6/15/2016 | 0.500 | 1,327,246 | 1,328,649 | |||||||||
365,000 | US TREASURY N/B 06/17 0.75 | 6/30/2017 | 0.750 | 367,363 | 361,150 | |||||||||
1,635,000 | US TREASURY N/B 06/20 1.875 | 6/30/2020 | 1.875 | 1,636,724 | 1,595,274 | |||||||||
2,040,000 | US TREASURY N/B 07/15 0.25 | 7/15/2015 | 0.250 | 2,038,247 | 2,040,080 | |||||||||
2,095,000 | US TREASURY N/B 07/15 0.25 | 7/31/2015 | 0.250 | 2,092,463 | 2,094,918 | |||||||||
2,710,000 | US TREASURY N/B 07/16 0.625 | 7/15/2016 | 0.625 | 2,703,572 | 2,713,388 | |||||||||
3,930,000 | US TREASURY N/B 07/16 1.5 | 7/31/2016 | 1.500 | 4,061,761 | 4,019,651 | |||||||||
1,965,000 | US TREASURY N/B 07/17 0.5 | 7/31/2017 | 0.500 | 1,960,407 | 1,923,704 | |||||||||
120,000 | US TREASURY N/B 08/14 0.25 | 8/31/2014 | 0.250 | 120,005 | 120,103 | |||||||||
2,320,000 | US TREASURY N/B 08/14 0.5 | 8/15/2014 | 0.500 | 2,328,386 | 2,325,438 | |||||||||
1,635,000 | US TREASURY N/B 08/14 2.375 | 8/31/2014 | 2.375 | 1,723,518 | 1,659,079 | |||||||||
150,000 | US TREASURY N/B 08/15 0.375 | 8/31/2015 | 0.375 | 149,918 | 150,228 | |||||||||
1,845,000 | US TREASURY N/B 08/16 1 | 8/31/2016 | 1.000 | 1,867,050 | 1,862,297 | |||||||||
500,000 | US TREASURY N/B 08/17 8.875 | 8/15/2017 | 8.875 | 649,784 | 637,969 | |||||||||
480,000 | US TREASURY N/B 08/17 8.875 | 8/15/2017 | 8.875 | 679,277 | 612,450 | |||||||||
1,785,000 | US TREASURY N/B 08/18 1.5 | 8/31/2018 | 1.500 | 1,787,988 | 1,775,936 | |||||||||
855,000 | US TREASURY N/B 08/20 2.625 | 8/15/2020 | 2.625 | 940,124 | 872,367 | |||||||||
1,460,000 | US TREASURY N/B 08/20 8.75 | 8/15/2020 | 8.750 | 2,109,091 | 2,049,019 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
1,755,000 | US TREASURY N/B 08/21 2.125 | 8/15/2021 | 2.125 | 1,847,613 | 1,700,156 | |||||||||
1,660,000 | US TREASURY N/B 08/22 1.625 | 8/15/2022 | 1.625 | 1,523,569 | 1,508,137 | |||||||||
1,515,000 | US TREASURY N/B 09/14 0.25 | 9/15/2014 | 0.250 | 1,516,082 | 1,516,301 | |||||||||
335,000 | US TREASURY N/B 09/15 0.25 | 9/30/2015 | 0.250 | 334,607 | 334,699 | |||||||||
7,160,000 | US TREASURY N/B 09/16 1. | 9/30/2016 | 1.000 | 7,203,657 | 7,221,533 | |||||||||
1,860,000 | US TREASURY N/B 09/17 0.625 | 9/30/2017 | 0.625 | 1,864,723 | 1,821,347 | |||||||||
795,000 | US TREASURY N/B 09/17 1.875 | 9/30/2017 | 1.875 | 838,725 | 815,310 | |||||||||
18,625,000 | US TREASURY N/B 09/18 1.375 | 9/30/2018 | 1.375 | 18,615,232 | 18,397,999 | |||||||||
2,500,000 | US TREASURY N/B 09/18 1.375 | 9/30/2018 | 1.375 | 2,504,530 | 2,469,530 | |||||||||
1,405,000 | US TREASURY N/B 09/18 1.375 | 9/30/2018 | 1.375 | 1,411,240 | 1,387,876 | |||||||||
870,000 | US TREASURY N/B 10/14 2.375 | 10/31/2014 | 2.375 | 915,293 | 885,938 | |||||||||
6,900,000 | US TREASURY N/B 10/15 0.25 | 10/31/2015 | 0.250 | 6,890,590 | 6,890,299 | |||||||||
1,400,000 | US TREASURY N/B 10/15 1.25 | 10/31/2015 | 1.250 | 1,437,226 | 1,423,187 | |||||||||
1,155,000 | US TREASURY N/B 10/16 0.625 | 10/15/2016 | 0.625 | 1,154,283 | 1,152,834 | |||||||||
6,280,000 | US TREASURY N/B 10/16 1. | 10/31/2016 | 1.000 | 6,344,706 | 6,327,590 | |||||||||
1,030,000 | US TREASURY N/B 10/16 3.125 | 10/31/2016 | 3.125 | 1,123,545 | 1,099,042 | |||||||||
930,000 | US TREASURY N/B 10/17 1.875 | 10/31/2017 | 1.875 | 969,380 | 953,250 | |||||||||
940,000 | US TREASURY N/B 11/14 0.375 | 11/15/2014 | 0.375 | 939,296 | 941,799 | |||||||||
1,205,000 | US TREASURY N/B 11/14 2.125 | 11/30/2014 | 2.125 | 1,267,651 | 1,226,369 | |||||||||
21,480,000 | US TREASURY N/B 11/15 0.25 | 11/30/2015 | 0.250 | 21,458,437 | 21,437,212 | |||||||||
2,030,000 | US TREASURY N/B 11/15 1.375 | 11/30/2015 | 1.375 | 2,086,173 | 2,069,252 | |||||||||
240,000 | US TREASURY N/B 11/16 0.625 | 11/15/2016 | 0.625 | 240,465 | 239,269 | |||||||||
1,260,000 | US TREASURY N/B 11/16 4.625 | 11/15/2016 | 4.625 | 1,449,877 | 1,398,600 | |||||||||
480,000 | US TREASURY N/B 11/17 4.25 | 11/15/2017 | 4.250 | 567,657 | 534,450 | |||||||||
47,600,000 | US TREASURY N/B 11/18 1.25 | 11/30/2018 | 1.250 | 47,165,143 | 46,581,074 | |||||||||
2,090,000 | US TREASURY N/B 11/18 1.25 | 11/30/2018 | 1.250 | 2,065,437 | 2,045,261 | |||||||||
15,000 | US TREASURY N/B 11/21 8. | 11/15/2021 | 8.000 | 21,488 | 20,836 | |||||||||
535,000 | US TREASURY N/B 11/22 7.625 | 11/15/2022 | 7.625 | 770,566 | 741,435 | |||||||||
4,900,000 | US TREASURY N/B 11/23 2.75 | 11/15/2023 | 2.750 | 4,838,974 | 4,793,577 | |||||||||
1,110,000 | US TREASURY N/B 11/23 2.75 | 11/15/2023 | 2.750 | 1,112,161 | 1,085,892 | |||||||||
100,000 | US TREASURY N/B 11/41 3.125 | 11/15/2041 | 3.125 | 102,813 | 86,375 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
835,000 | US TREASURY N/B 11/43 3.75 | 11/15/2043 | 3.750 | 816,191 | 807,079 | |||||||||
100,000 | US TREASURY N/B 11/43 3.75 | 11/15/2043 | 3.750 | 97,360 | 96,656 | |||||||||
9,700,000 | US TREASURY N/B 12/14 0.125 | 12/31/2014 | 0.125 | 9,678,814 | 9,696,974 | |||||||||
6,000,000 | US TREASURY N/B 12/14 0.25 | 12/15/2014 | 0.250 | 5,977,542 | 6,004,920 | |||||||||
5,230,000 | US TREASURY N/B 12/15 0.25 | 12/31/2015 | 0.250 | 5,215,564 | 5,216,109 | |||||||||
690,000 | US TREASURY N/B 12/15 2.125 | 12/31/2015 | 2.125 | 707,407 | 713,719 | |||||||||
16,505,000 | US TREASURY N/B 12/16 0.625 | 12/15/2016 | 0.625 | 16,490,744 | 16,437,957 | |||||||||
3,190,000 | US TREASURY N/B 12/18 1.5 | 12/31/2018 | 1.500 | 3,162,690 | 3,154,113 | |||||||||
1,090,000 | US TREASURY N/B 12/20 2.375 | 12/31/2020 | 2.250 | 1,089,557 | 1,085,742 | |||||||||
1,000,000 | VERIZON COMMUNICATIONS SR UNSECURED 03/14 VAR | 3/28/2014 | 0.858 | 1,005,360 | 1,001,257 | |||||||||
1,820,000 | VERIZON COMMUNICATIONS SR UNSECURED 09/16 2.5 | 9/15/2016 | 2.500 | 1,818,599 | 1,881,946 | |||||||||
575,000 | VERIZON COMMUNICATIONS SR UNSECURED 09/18 3.65 | 9/14/2018 | 3.650 | 574,977 | 608,674 | |||||||||
1,550,000 | VERIZON COMMUNICATIONS SR UNSECURED 09/20 4.5 | 9/15/2020 | 4.500 | 1,556,757 | 1,659,377 | |||||||||
525,000 | VERIZON COMMUNICATIONS SR UNSECURED 09/23 5.15 | 9/15/2023 | 5.150 | 570,339 | 563,688 | |||||||||
865,000 | VERIZON COMMUNICATIONS SR UNSECURED 09/23 5.15 | 9/15/2023 | 5.150 | 908,008 | 928,744 | |||||||||
425,000 | VERIZON COMMUNICATIONS SR UNSECURED 11/22 2.45 | 11/1/2022 | 2.450 | 361,760 | 376,229 | |||||||||
245,000 | VIRGINIA ELEC + POWER CO SR UNSECURED 09/17 5.95 | 9/15/2017 | 5.950 | 283,120 | 282,502 | |||||||||
160,000 | VODAFONE GROUP PLC SR UNSECURED 01/15 5.375 | 1/30/2015 | 5.375 | 176,648 | 167,871 | |||||||||
865,000 | VODAFONE GROUP PLC SR UNSECURED 06/14 4.15 | 6/10/2014 | 4.150 | 864,420 | 878,799 | |||||||||
460,000 | VODAFONE GROUP PLC SR UNSECURED 09/17 1.25 | 9/26/2017 | 1.250 | 458,579 | 449,503 | |||||||||
175,000 | VODAFONE GROUP PLC SR UNSECURED 09/17 1.25 | 9/26/2017 | 1.250 | 175,765 | 171,007 | |||||||||
300,000 | VOLKSWAGEN INTL FIN NV COMPANY GUAR 144A 11/15 1.15 | 11/20/2015 | 1.150 | 299,682 | 302,435 | |||||||||
600,000 | WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C25 A4 | 5/15/2043 | 5.724 | 653,625 | 647,369 | |||||||||
546,215 | WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C29 A1A | 11/15/2048 | 5.297 | 601,583 | 598,801 | |||||||||
800,000 | WACHOVIA CORP SR UNSECURED 06/17 VAR | 6/15/2017 | 0.513 | 784,336 | 793,793 | |||||||||
250,000 | WALGREEN CO SR UNSECURED 09/22 3.1 | 9/15/2022 | 3.100 | 252,100 | 234,372 | |||||||||
400,000 | WALT DISNEY COMPANY/THE SR UNSECURED 08/21 2.75 | 8/16/2021 | 2.750 | 404,028 | 385,650 | |||||||||
4,173 | WASHINGTON MUTUAL MSC MORTGAGE WAMMS 2003 AR1 1A | 2/25/2033 | 2.252 | 4,242 | 4,117 | |||||||||
130,000 | WASHINGTON REIT SR UNSECURED 10/22 3.95 | 10/15/2022 | 3.950 | 126,330 | 123,440 | |||||||||
220,000 | WASTE MANAGEMENT INC COMPANY GUAR 09/22 2.9 | 9/15/2022 | 2.900 | 219,298 | 203,804 | |||||||||
285,000 | WEATHERFORD BERMUDA COMPANY GUAR 03/19 9.625 | 3/1/2019 | 9.625 | 370,306 | 366,186 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
345,000 | WELLPOINT INC SR UNSECURED 01/23 3.3 | 1/15/2023 | 3.300 | 353,759 | 321,959 | |||||||||
280,000 | WELLPOINT INC SR UNSECURED 08/21 3.7 | 8/15/2021 | 3.700 | 285,628 | 278,965 | |||||||||
380,000 | WELLPOINT INC SR UNSECURED 09/15 1.25 | 9/10/2015 | 1.250 | 379,844 | 382,641 | |||||||||
245,000 | WELLS FARGO + COMPANY SR UNSECURED 01/18 1.5 | 1/16/2018 | 1.500 | 244,559 | 243,417 | |||||||||
350,000 | WELLS FARGO + COMPANY SR UNSECURED 01/19 2.15 | 1/15/2019 | 2.150 | 349,234 | 348,904 | |||||||||
500,000 | WELLS FARGO + COMPANY SR UNSECURED 04/18 VAR | 4/23/2018 | 0.869 | 502,731 | 502,761 | |||||||||
725,000 | WELLS FARGO + COMPANY SR UNSECURED 04/21 4.6 | 4/1/2021 | 4.600 | 778,563 | 794,765 | |||||||||
600,000 | WELLS FARGO + COMPANY SR UNSECURED 04/21 4.6 | 4/1/2021 | 4.600 | 659,308 | 657,736 | |||||||||
900,000 | WELLS FARGO + COMPANY SR UNSECURED 06/15 VAR | 6/26/2015 | 1.166 | 903,285 | 910,027 | |||||||||
480,000 | WELLS FARGO + COMPANY SR UNSECURED 07/16 1.25 | 7/20/2016 | 1.250 | 479,539 | 483,561 | |||||||||
125,000 | WELLS FARGO + COMPANY SUBORDINATED 08/23 4.125 | 8/15/2023 | 4.125 | 124,574 | 123,231 | |||||||||
240,000 | WELLS FARGO BANK NA CERT OF DEPO 04/17 VAR | 4/19/2017 | 1.000 | 240,000 | 237,730 | |||||||||
700,000 | WELLS FARGO BANK NA SUBORDINATED 05/16 VAR | 5/16/2016 | 0.448 | 654,997 | 693,459 | |||||||||
825,000 | WESTPAC BANKING CORP COVERED 144A 07/15 1.375 | 7/17/2015 | 1.375 | 838,447 | 834,900 | |||||||||
2,700,000 | WI TREASURY N/B 02/16 0.375 | 2/15/2016 | 0.375 | 2,701,467 | 2,697,467 | |||||||||
280,000 | WM WRIGLEY JR CO SR UNSECURED 144A 10/19 2.9 | 10/21/2019 | 2.900 | 279,387 | 277,685 | |||||||||
100,000 | WM WRIGLEY JR CO SR UNSECURED 144A 10/19 2.9 | 10/21/2019 | 2.900 | 99,781 | 99,173 | |||||||||
595,000 | XSTRATA FINANCE CANADA COMPANY GUAR 144A 11/14 2.85 | 11/10/2014 | 2.850 | 594,441 | 603,259 | |||||||||
550,000 | XYLEM INC COMPANY GUAR 09/16 3.55 | 9/20/2016 | 3.550 | 558,205 | 577,696 | |||||||||
75,000 | XYLEM INC COMPANY GUAR 09/16 3.55 | 9/20/2016 | 3.550 | 74,857 | 78,777 | |||||||||
190,000 | ZOETIS INC SR UNSECURED 02/16 1.15 | 2/1/2016 | 1.150 | 189,949 | 190,216 | |||||||||
435,000 | ZOETIS INC SR UNSECURED 02/18 1.875 | 2/1/2018 | 1.875 | 434,752 | 431,425 | |||||||||
195,000 | ZOETIS INC SR UNSECURED 02/23 3.25 | 2/1/2023 | 3.250 | 194,786 | 182,456 | |||||||||
Investment companies | ||||||||||||||
35,170 | ISHARES CORE TOTAL US BOND MAR ISHARES CORE TOTAL US BOND M | — | 3,567,017 | 3,743,143 | ||||||||||
3,500 | ISHARES MBS ETF ISHARES MBS ETF | — | 358,688 | 365,995 | ||||||||||
20,000 | VANGUARD TOTAL BOND MARKET ETF VANGUARD TOTAL BOND MARKET | — | 1,574,212 | 1,599,800 | ||||||||||
Futures Contracts |
Face Amount | Investments | |||||||||||||
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) | |||||||||
(3,250,000 | ) | 90DAY EUR FUTR DEC15 XCME 20151214 | 12/14/2015 | — | — | — | ||||||||
(6,500,000 | ) | 90DAY EUR FUTR JUN14 XCME 20140616 | 6/16/2014 | — | — | — | ||||||||
(1,750,000 | ) | 90DAY EUR FUTR JUN16 XCME 20160613 | 6/13/2016 | — | — | — | ||||||||
(62,500,000 | ) | 90DAY EUR FUTR MAR14 XCME 20140317 | 3/17/2014 | — | — | — | ||||||||
(1,750,000 | ) | 90DAY EUR FUTR MAR16 XCME 20160314 | 3/14/2016 | — | — | — | ||||||||
(35,500,000 | ) | 90DAY EUR FUTR SEP14 XCME 20140915 | 9/15/2014 | — | — | — | ||||||||
8,200,000 | US 10YR NOTE (CBT)MAR14 XCBT 20140320 | 3/20/2014 | — | — | — | |||||||||
4,300,000 | US 10YR NOTE (CBT)MAR14 XCBT 20140320 | 3/20/2014 | — | — | — | |||||||||
11,500,000 | US 10YR NOTE (CBT)MAR14 XCBT 20140320 | 3/20/2014 | — | — | — | |||||||||
(7,600,000 | ) | US 2YR NOTE (CBT) MAR14 XCBT 20140331 | 3/31/2014 | — | — | — | ||||||||
36,400,000 | US 2YR NOTE (CBT) MAR14 XCBT 20140331 | 3/31/2014 | — | — | — | |||||||||
32,400,000 | US 2YR NOTE (CBT) MAR14 XCBT 20140331 | 3/31/2014 | — | — | — | |||||||||
2,100,000 | US 5YR NOTE (CBT) MAR14 XCBT 20140331 | 3/31/2014 | — | — | — | |||||||||
(16,400,000 | ) | US 5YR NOTE (CBT) MAR14 XCBT 20140331 | 3/31/2014 | — | — | — | ||||||||
15,200,000 | US 5YR NOTE (CBT) MAR14 XCBT 20140331 | 3/31/2014 | — | — | — | |||||||||
2,500,000 | US LONG BOND(CBT) MAR14 XCBT 20140320 | 3/20/2014 | — | — | — | |||||||||
(1,800,000 | ) | US LONG BOND(CBT) MAR14 XCBT 20140320 | 3/20/2014 | — | — | — | ||||||||
1,200,000 | US LONG BOND(CBT) MAR14 XCBT 20140320 | 3/20/2014 | — | — | — | |||||||||
(3,500,000 | ) | US ULTRA BOND(CBT MAR14 XCBT 20140320 | 3/20/2014 | — | — | — | ||||||||
Interest Rate Swaps | ||||||||||||||
(4,100,000 | ) | BR204624 IRS USD P F 1.67500 CCP SWAP | 11/25/2017 | 1.680 | (4,100,000 | ) | (4,100,000 | ) | ||||||
4,100,000 | BR204624 IRS USD R V 03MLIBOR CCP SWAP | 11/25/2017 | 1.000 | 4,115,290 | 4,135,252 | |||||||||
(2,200,000 | ) | BR204626 IRS USD P F 3.51119 CCP SWAP | 11/25/2023 | 3.510 | (2,200,000 | ) | (2,200,000 | ) | ||||||
2,200,000 | BR204626 IRS USD R V 03MLIBOR CCP SWAP | 11/25/2023 | 1.000 | 2,217,475 | 2,242,387 | |||||||||
(1,700,000 | ) | BR204686 IRS USD P F 2.75000 | 3/19/2021 | 2.750 | (1,700,000 | ) | (1,700,000 | ) | ||||||
1,700,000 | BR204686 IRS USD R V 03MLIBOR | 3/19/2021 | 1.000 | 1,700,014 | 1,684,641 | |||||||||
(6,500,000 | ) | BR204687 IRS USD P F 2.00000 2 CCPVANILLA | 3/19/2019 | 2.000 | (6,500,000 | ) | (6,500,000 | ) | ||||||
6,500,000 | BR204687 IRS USD R V 03MLIBOR 1 CCPVANILLA | 3/19/2019 | 1.000 | 6,500,033 | 6,482,928 | |||||||||
(200,000 | ) | BR204689 IRS USD P F 3.75000 | 3/19/2044 | 3.750 | (200,000 | ) | (200,000 | ) | ||||||
200,000 | BR204689 IRS USD R V 03MLIBOR | 3/19/2044 | 1.000 | 200,004 | 208,554 |
Face Amount | Investments | |||||||||||||
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) | |||||||||
(3,300,000 | ) | BR204692 IRS USD P F .75000 | 3/19/2016 | 0.750 | (3,300,000 | ) | (3,300,000 | ) | ||||||
3,300,000 | BR204692 IRS USD R V 03MLIBOR | 3/19/2016 | 1.000 | 3,300,010 | 3,288,797 | |||||||||
(4,900,000 | ) | SR204625 IRS USD P V 03MLIBOR CCP SWAP | 11/25/2020 | 1.000 | (4,900,000 | ) | (4,900,000 | ) | ||||||
4,900,000 | SR204625 IRS USD R F 2.92000 CCP SWAP | 11/25/2020 | 2.920 | 4,868,140 | 4,820,110 | |||||||||
Cash and Cash Equivalents | ||||||||||||||
900,000 | BANK OF NOVA SCOTIA | 9/11/2015 | 0.680 | 902,295 | 902,295 | |||||||||
25,999,827 | *STATE STREET BANK + TRUST CO SHORT TERM INVESTMENT FUND | 12/31/2030 | 0.030 | 25,999,827 | 25,999,827 | |||||||||
Total Intermediate-Term Bond Fund | 593,000,465 | 588,835,450 | ||||||||||||
Total Investments | 5,565,123,449 | 6,833,911,657 | ||||||||||||
*Participant Loans (interest rate range: 4.25-10.5014%) | 153,184,216 | |||||||||||||
6,987,095,873 | ||||||||||||||
*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. |
TARGET CORPORATION 401(K) PLAN | ||
Date: June 13, 2014 | ||
By | /s/ John J. Mulligan | |
John J. Mulligan | ||
Interim President and Chief Executive | ||
Officer, Chief Financial Officer and | ||
Chief Accounting Officer | ||
On behalf of Target Corporation as Plan | ||
Administrator |