Document
Table of Contents

 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

 FORM 11-K

(Mark One)
ý
Annual Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
For the fiscal year ended January 31, 2017.
or 
¨
Transaction Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
For the transition period from              to             .
Commission file number 1-6991

A.
Full title of the plan and the address of the plan, if different from that of the issuer named below:
WALMART 401(k) PLAN
 
B.
Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
wmtlogoa02a01a04.jpg

WAL-MART STORES, INC.
702 Southwest Eighth Street
Bentonville, Arkansas 72716



Table of Contents

Walmart 401(k) Plan
Financial Statements and
Supplemental Schedule

As of January 31, 2017 and 2016, and for the year ended January 31, 2017


Table of Contents
 
Report of Independent Registered Public Accounting Firm
Statements of Net Assets Available for Benefits
Statement 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)
Signatures
Exhibit 23.1 - Consent of Independent Registered Public Accounting Firm
 



Table of Contents


Report of Independent Registered Public Accounting Firm

Senior Vice President, Global Total Rewards & Performance, Wal-Mart Stores, Inc. and
Administrator of the Walmart 401(k) Plan

We have audited the accompanying statements of net assets available for benefits of the Walmart 401(k) Plan as of January 31, 2017 and 2016, and the related statement of changes in net assets available for benefits for the year ended January 31, 2017. These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on these financial statements based on our audits.

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

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Walmart 401(k) Plan at January 31, 2017 and 2016, and the changes in its net assets available for benefits for the year ended January 31, 2017, in conformity with U.S. generally accepted accounting principles.

The accompanying supplemental schedule of assets (held at end of year) as of January 31, 2017, has been subjected to audit procedures performed in conjunction with the audit of the Walmart 401(k) Plan's financial statements. The information in the supplemental schedule is the responsibility of the Plan's management. Our audit procedures included determining whether the information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedule. In forming our opinion on the information, we evaluated whether such information, including its form and content, is presented in conformity with the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the information is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ Ernst & Young LLP
Rogers, Arkansas
July 14, 2017



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Table of Contents

Walmart 401(k) Plan
Statements of Net Assets Available for Benefits


 
 
January 31,
(Amounts in thousands)
 
2017
 
2016
Assets
 
 
 
 
Investments (at fair value)
 
$
23,244,308

 
$
20,808,002

Cash and cash equivalents
 
16,650

 
11,391

Notes receivable from participants
 
952,901

 

Accrued investment income
 

 
2,265

Total assets
 
24,213,859

 
20,821,658

 
 
 
 
 
Liabilities
 
 
 
 
Due to broker
 


12,701

Accrued expenses
 
7,428

 
1,471

Total liabilities
 
7,428

 
14,172

Net assets available for benefits
 
$
24,206,431

 
$
20,807,486

See accompanying notes.

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Table of Contents

Walmart 401(k) Plan
Statement of Changes in Net Assets Available for Benefits

 
(Amounts in thousands)
Year Ended
January 31, 2017
Additions
 
Company contributions
$
1,057,103

Associate contributions
1,509,256

Interest and dividend income
153,361

Interest income on notes receivable from participants
29,552

Other, net
1,369

Net appreciation in fair value of investments
2,669,927

Total additions
5,420,568

Deductions
 
Benefit payments
(1,970,810
)
Administrative expenses
(40,018
)
Fees on notes receivable from participants
(10,795
)
Total deductions
(2,021,623
)
Net increase
3,398,945

Net assets available for benefits at beginning of year
20,807,486

Net assets available for benefits at end of year
$
24,206,431

See accompanying notes.

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Table of Contents

Walmart 401(k) Plan
Notes to Financial Statements
January 31, 2017
1. Description of the Plan
The following description of the Walmart 401(k) Plan (the "Plan") provides general information regarding the Plan as in effect on January 31, 2017. This document is not part of the Summary Plan Description and is not a document pursuant to which the Plan is maintained within the meaning of section 402(a)(1) of the Employee Retirement Income Security Act of 1974, as amended ("ERISA"). Participants should refer to the Plan document for a complete description of the Plan's provisions. To the extent not specifically prohibited by statute or regulation, Wal-Mart Stores, Inc. ("Walmart" or "the Company") reserves the right to unilaterally amend, modify or terminate the Plan at any time; such changes may be applied to all Plan participants and their beneficiaries regardless of whether the participant is actively working or retired at the time of the change. The Plan may not be amended, however, to permit any part of the Plan's assets to be used for any purpose other than for the purpose of paying benefits to participants and their beneficiaries and paying Plan expenses.
General
The Plan is a defined-contribution plan established by the Company on February 1, 1997, as the Wal-Mart Stores, Inc. 401(k) Retirement Savings Plan. The Plan was amended, effective October 31, 2003, to merge the assets of the Wal-Mart Stores, Inc. Profit Sharing Plan ("Profit Sharing") applicable to United States participants into the Plan. In connection with the merger, the Plan was renamed the Wal-Mart Profit Sharing and 401(k) Plan. Effective February 1, 2011, the Plan was amended and restated in order to convert it to a safe harbor plan, allowing for matching and discretionary contribution components. In connection with the Plan amendment and restatement effective February 1, 2011, the Plan was renamed the Walmart 401(k) Plan. The Plan has a January 31 fiscal year end ("Plan Year").
Each eligible employee can participate in the Plan beginning on the employee's date of hire. The Plan is subject to the provisions of ERISA.
The responsibility for operation and the investment policy (except for day-to-day investment management and control of assets) is vested in the Plan's Benefits Investment Committee. Benefits Investment Committee members are appointed by the Company's Senior Vice President, Global Benefits or successor title, with ratification of a majority of sitting committee members. The administration of the Plan is vested in the Senior Vice President, Global Benefits or successor title.
The trustee function of the Plan is performed by The Northern Trust Company ("Northern Trust Company" or the "Trustee"). The Trustee receives and holds contributions made to the Plan trust and invests those contributions as directed by participants according to the policies established by the Benefits Investment Committee. The Northern Trust Company has appointed Bank of America, N.A., a subsidiary of Bank of America Corporation, as the custodian of the Plan for the limited purpose of making payouts from the Plan in accordance with the Plan document. Merrill Lynch, Pierce, Fenner & Smith, Inc., which is the record keeper for the Plan, is a subsidiary of Merrill Lynch & Company and ultimately a subsidiary of Bank of America Corporation.
Contributions
Eligible associates may elect to contribute up to 50% of their eligible wages, but are not required to contribute to the Plan. Participants who have attained age 50 before the end of the calendar year are eligible to make catch-up contributions. Participants may also contribute amounts representing distributions from other eligible retirement plans (rollover contributions).
Each eligible employee who has completed at least 1,000 hours of service in a consecutive 12-month period commencing on date of hire (or during any Plan Year) will receive a Company matching contribution. The Company makes a dollar-for-dollar matching contribution on each participant dollar contributed to the Plan up to six percent of each participant's eligible wages for the Plan Year. Matching contributions are contributed to the Plan each payroll period and are calculated based on each participant's cumulative compensation and cumulative elective and catch-up contributions through such payroll period. The matching contribution is intended to be the primary type of Company contributions to the Plan; however, the Company may elect to make additional types of contributions to the Plan. No such additional types of contributions were made for the Plan Year ended January 31, 2017. All contributions are subject to certain limitations in accordance with provisions of the Internal Revenue Code (the "Code").

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Participant Accounts
Each participant's account is adjusted for administrative expenses and earnings (losses). Adjustments are determined by the investments held in each participant's account, the participant's contribution, and an allocation of the Company's contributions to the Plan made on the participant's behalf. Forfeitures of non-vested Profit Sharing contributions are used or allocated to restore account balances of rehired participants or participants whose distributions were previously unclaimed.
Vesting
Participants are immediately vested in all elective contributions, catch-up contributions, matching contributions, Qualified Non-Elective contributions and rollover contributions.
Payment of Benefits and Withdrawals
Generally, payment upon a participant's separation from the Company (and its controlled group members) is a lump-sum payment in cash for the balance of the participant's vested account. However, participants may elect to receive a single lump-sum payment of their Profit Sharing contributions in whole shares of Wal-Mart Stores, Inc. equity securities, with partial or fractional shares paid in cash, even if such contributions are not invested in Wal-Mart Stores, Inc. equity securities. Participants may also elect to receive a single lump-sum payment of the remainder of their accounts in whole shares of Wal-Mart Stores, Inc. equity securities, with partial or fractional shares paid in cash, but only to the extent such contributions are invested in Wal-Mart Stores, Inc. equity securities as of the date distributions are processed. To the extent the participant's Profit Sharing and contributions are not invested in Wal-Mart Stores, Inc. equity securities, the contributions will automatically be distributed in cash, unless directed otherwise by the participant. Participants may also elect to rollover their account balance into a different tax-qualified retirement plan or individual retirement account upon separation from the Company (and its controlled group members).
The Plan permits withdrawals of active participants' salary reduction contributions and rollover contributions in amounts necessary to satisfy financial hardship as defined by the Internal Revenue Service ("IRS"), and loans. In-service withdrawal of vested balances may be elected by participants who have reached 59 1/2 years of age.
Notes Receivable from Participants
Effective February 1, 2016, participants may borrow from their fund accounts a minimum of $1,000 up to generally a maximum of (a) $50,000 or (b) 50% of their vested account balance. The administrative loan origination fee of $50 per general loan and $95 per residential loan is paid by the participant and is deducted from the proceeds of the loan. Participants may only have one general purpose loan and one residential loan outstanding at any time. Loan terms range from one to five years for general purpose loans and one to fifteen years for residential loans. The loans are secured by the balance in the participant's account and bear fixed interest at the prime rate on the last day of the month preceding the month in which the loan is processed for payment, plus one percent. Generally, payments of principal and interest on the loan will be deducted from an employee's regular pay in equal amounts each pay period beginning with the first pay period following the date of the loan.
Plan Termination
While there is no intention to do so, the Company may discontinue the Plan subject to the provisions of ERISA. In the event of complete or partial Plan termination, or discontinuance of contributions to the Plan, any unvested amounts in participants' accounts shall become fully vested. The Plan shall remain in effect (unless it is specifically terminated) and the assets shall be administered in the manner provided by the terms of the trust agreement and distributed as soon as administratively feasible.
Investment Options
A participant may direct the Trustee to invest any portion of his or her elective contributions, catch-up contributions, matching contributions, Qualified Non-Elective contributions and rollover contributions in available investment options. Available investment options may change at any time. Participant investment options at January 31, 2017, include a variety of equity securities, mutual funds, bonds, and common/collective trusts.
A participant may direct the Trustee to invest any portion of his or her Profit Sharing contributions in available investment options, including Wal-Mart Stores, Inc. equity securities, or any of the investment options for elective contributions described previously.
Participant investments not directed by the associate are invested by the Trustee as determined by the Benefits Investment Committee.

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2. Summary of Accounting Policies
Basis of Accounting
The accompanying financial statements of the Plan are prepared utilizing the accrual method of accounting. Wal-Mart Stores, Inc. equity securities, other equity securities, and mutual funds are stated at fair value, which equals the exchange quoted market price on the last business day of the Plan Year. Bonds are stated at fair value obtained from third party pricing services. Investments in common/collective trust funds are stated at net asset value. Purchases and sales are recorded on a trade-date basis. Dividends are recorded on the ex-dividend date. Net appreciation includes the gains and losses on investments bought and sold as well as held during the year. Benefit payments are recorded when paid. Participant contributions are accrued for payperiods ended prior to the Plan's year-end. Company contributions are recorded when paid to the Plan. Walmart contributions to the Plan related to the Plan Year ended January 31, 2017, were paid throughout the Plan Year.
Use of Estimates
The preparation of the financial statements in conformity with U.S. generally accepted accounting principles ("U.S. GAAP") requires Plan management to use estimates and assumptions that affect the amounts reported in the accompanying financial statements, notes and supplemental schedule. Actual results could differ from these estimates.
Notes Receivable from Participants
Notes receivable from participants are recorded at their unpaid principal balance plus any accrued but unpaid interest. Interest income is recorded when it is earned. Principal and interest from the repayment of loans are allocated to participants' investment accounts in accordance with each participant's investment election in effect at the repayment date. Related fees are recorded as fees on notes receivable from participants and are recorded when earned. No allowances for credit losses have been recorded as of January 31, 2017.

3. Investments
The Trustee holds the Plan's investments and executes all investment transactions. The Plan invests in various investment securities. Investment securities are exposed to various risks, such as interest rate, market volatility and credit risks. The Plan attempts to limit these risks by authorizing and offering participants a broad range of investment options that are invested in high quality securities or are offered and administered by reputable and known investment and insurance companies. Due to the level of risk associated with certain investment securities, it is at least reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect participants' account balances and the amounts reported in the Statements of Net Assets Available for Benefits. The Plan's exposure to a concentration of risk is limited by the diversification of investments across multiple investment fund options. Additionally, the investments within each investment fund option are further diversified into varied financial instruments.
At January 31, 2017 and 2016, participants may allocate their investments among 20 investment funds, (consisting of a variety of underlying equity securities, mutual funds, bonds and common/collective trusts) and may change their investment elections daily.


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4. Fair Value Measurements
The Plan records and discloses certain financial and non-financial assets and liabilities at their fair values. The fair value of an asset is the price at which the asset could be sold in an ordinary transaction between unrelated, knowledgeable and willing parties able to engage in the transaction. A liability's fair value is defined as the amount that would be paid to transfer the liability to a new obligor in a transaction between such parties, not the amount that would be paid to settle the liability with the creditor. Assets and liabilities recorded at fair value are measured using the fair value hierarchy, which prioritizes the inputs used in measuring fair value. The levels of the fair value hierarchy are:
Level 1: observable inputs such as quoted prices in active markets;
Level 2: inputs other than quoted prices in active markets that are either directly or indirectly observable; and
Level 3: unobservable inputs for which little or no market data exists, therefore requiring the Plan to develop its own assumptions. There were no Level 3 investments in the Plan as of January 31, 2017 or 2016.
 The valuation of financial instruments carried at fair value on a recurring basis is as follows:
 

Fair Value Measurements as of January 31, 2017
(Amounts in thousands)

Level 1
 
Level 2
 
Total
Wal-Mart Stores, Inc. Equity Securities (a)
 
$
2,747,917


$


$
2,747,917

Other Equity Securities (a)

1,803,359

 

 
1,803,359

Mutual Funds (a)

1,200,140

 

 
1,200,140

Bonds (b)
 

 
640,418

 
640,418

Total Investments at Fair Value

5,751,416

 
640,418

 
6,391,834

Common/Collective Trusts measured at Net Asset Value (c)(d)
 
 
 
 
 
16,852,474

Total Investments
 
$
5,751,416

 
$
640,418

 
$
23,244,308

(a)
Fair value is based on quoted price in active market.
(b)
Fair value is based on prices obtained from third party pricing services. Observable inputs used to value these securities can include, but are not limited to, reported trades, benchmark yields, issuer spreads and non-binding broker quotes.
(c)
Net Asset Value provided by the issuer.
(d)
Includes investments in US Equities (Large Cap), US Equities (Small Mid Cap), International Equities, Bond Funds, Short Term Bond Funds, Short Term Investment Funds, Global Listed Infrastructures, Commodities, and Global Real Estate Investments Trusts.
 
 
Fair Value Measurements as of January 31, 2016
(Amounts in thousands)
 
Level 1
 
Level 2
 
Total
Wal-Mart Stores, Inc. Equity Securities (a)
 
$
2,905,328

 
$

 
$
2,905,328

Other Equity Securities (a)
 
1,069,410

 

 
1,069,410

Mutual Funds (a)
 
1,056,031

 

 
1,056,031

Bonds (b)
 

 
617,044

 
617,044

Total Investments at Fair Value
 
5,030,769

 
617,044

 
5,647,813

Common/Collective Trusts measured at Net Asset Value (c)(d)
 
 
 
 
 
15,160,189

Total Investments
 
$
5,030,769

 
$
617,044

 
$
20,808,002

 
(a)
Fair value is based on quoted price in active market.
(b)
Fair value is based on prices obtained from third party pricing services. Observable inputs used to value these securities can include, but are not limited to, reported trades, benchmark yields, issuer spreads and non-binding broker quotes.
(c)
Net Asset Value provided by the issuer.
(d)
Includes investments in US Equities (Large Cap), US Equities (Small Mid Cap), International Equities, Bond Funds, Short Term Bond Funds, Short Term Investment Funds, Global Listed Infrastructures, Commodities, and Global Real Estate Investments Trusts.



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5. Differences between Financial Statements and Form 5500
The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500: 
 
 
January 31,
(Amounts in thousands)
 
2017
 
2016
Net assets available for benefits per the financial statements
 
$
24,206,431

 
$
20,807,486

Less: Amounts allocated to withdrawn participants
 
(21,239
)
 
(13,906
)
Net assets available for benefits per the Form 5500
 
$
24,185,192

 
$
20,793,580

The following is a reconciliation of the net increase in net assets available for benefits per the financial statements to the Form 5500 for the year ended January 31, 2017:
(Amounts in thousands)
 
Net increase per the financial statements
$
3,398,945

Less: Amounts allocated to withdrawn participants at January 31, 2017
(21,239
)
Add: Amounts allocated to withdrawn participants at January 31, 2016
13,906

Net increase per the Form 5500
$
3,391,612

Amounts allocated to withdrawn participants are recorded in the Form 5500 for benefit payments that have been processed and approved for payment prior to January 31, but not paid as of that date.
6. Tax Status
The Plan has received a determination letter from the IRS dated April 3, 2015, stating that the Plan is qualified under Section 401(a) of the Code and, therefore, the related trust is exempt from taxation. Subsequent to this determination by the IRS, the Plan was amended and restated. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualified status.  Processes are in place to prevent operational failures, but when they occur, the Administrator takes corrective action to preserve the tax qualification of the Plan. Specifically, the Administrator has corrected, and will continue to correct, operational failures in a manner permitted under the Employee Plans Compliance Resolution System of the Internal Revenue Service in order to preserve the Plan's tax favored qualification.  The Company believes the Plan, as amended, is qualified and the related trust is tax exempt.
U.S. GAAP requires Plan management to evaluate uncertain tax positions taken by the Plan. The financial statement effects of a tax position are recognized when the position is more likely than not, based on the technical merits, to be sustained upon examination by the IRS. The Company has analyzed the tax positions taken by the Plan and has concluded that as of January 31, 2017, there are no uncertain tax positions taken or expected to be taken. The Plan has recognized no interest or penalties related to uncertain tax positions. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress. The Plan remains subject to income tax examinations for fiscal 2014 and subsequent fiscal years.
7. Related Party and Party-In-Interest Transactions
At January 31, 2017 and 2016, the Plan held $1.2 billion and $628.6 million of common/collective trust funds managed by the Trustee, respectively. At January 31, 2017, the Plan held 41.5 thousand shares of equity securities of the Trustee, with a fair value of approximately $3.4 million. No equity securities of the Trustee were held as of January 31, 2016.
At January 31, 2017 and 2016, the Plan held 41.2 million and 43.8 million shares of equity securities of the Company, with a fair value of approximately $2.7 billion and $2.9 billion, respectively. For the year ended January 31, 2017, the Plan recorded dividend income on the equity securities of the Company of approximately $84.8 million.
At January 31, 2017 and 2016, the Plan held $7 million and $7.5 million, respectively, in bonds of Bank of America, N.A., the custodian of the Plan.
The Plan also holds equity securities, bonds, and common/collective trust funds of other companies that provide investment management services to the Plan.
These transactions qualify as party-in-interest transactions; however, they are exempt from the prohibited transaction rules under ERISA.


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Supplemental Schedule
Walmart 401(k) Plan
EIN #71-0415188, Plan #003
Schedule H, Line 4i – Schedule of Assets (Held at End of Year)
January 31, 2017
 
(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
WAL-MART STORES, INC. EQUITY SECURITIES
 
 

 

WAL-MART STORES INC COM*
 
 
41,173,462

 
$
2,747,917

TOTAL WAL-MART STORES, INC. EQUITY
 
 

 
2,747,917

OTHER EQUITY SECURITIES
 
 

 

ARIAD PHARMACEUTICALS CASH MERGER 02-16-2017
 
 
27,162

 
647

CYNOSURE INC CASH MERGER 03-23-2017
 
 
78,716

 
4,203

SURGICAL CARE CASH AND STOCK MERGER UNITEDHEALTH 2883755 03-27-2017
 
 
7,481

 
423

TESSERA HLDG NAME CHANGE XPERI CORP 2D1BAT2 02-23-2017
 
 
18,516

 
837

1ST COMWLTH FNCL CORP COM LM
 
 
308,780

 
4,360

2U INC COM
 
 
22,484

 
765

3M CO COM
 
 
11,842

 
2,070

AARON'S INC CLASS A
 
 
92,508

 
2,862

ACACIA RESH CORP COM
 
 
212,974

 
1,246

ACCO BRANDS CORP COM
 
 
213,577

 
2,723

ACHAOGEN INC COM
 
 
53,834

 
869

ACLARIS THERAPEUTICS INC COM
 
 
30,530

 
810

ACTIVISION BLIZZARD INC COM STK
 
 
7,079

 
285

ACXIOM CORP COM
 
 
145,991

 
3,810

ADIENT PLC ADIENT PLC LTD COM
 
 
2,764

 
175

ADOBE SYS INC COM
 
 
60,490

 
6,858

ADR AVADEL PHARMACEUTICALS PLC SPONSOREDADR
 
 
148,501

 
1,380

ADR WNS HLDGS LTD SPONSORED ADR
 
 
104,345

 
2,968

ADVANCED MICRO DEVICES INC COM
 
 
188,520

 
1,955

ADVANSIX INC COM
 
 
256

 
7

AERIE PHARMACEUTICALS INC COM
 
 
16,143

 
709

AETNA INC
 
 
12,181

 
1,445

AFLAC INC COM
 
 
16,654

 
1,166

AGCO CORP COM
 
 
45,841

 
2,879

AGILENT TECHNOLOGIES INC COM
 
 
20,607

 
1,009

AIR PROD & CHEM INC COM
 
 
2,444

 
342

AKAMAI TECHNOLOGIES INC COM STK
 
 
9,160

 
628

AKORN INC COM
 
 
74,870

 
1,430

ALBEMARLE CORP COM
 
 
54,757

 
5,073

ALEXANDRIA REAL ESTATE EQUITIES INC COM
 
 
44,186

 
4,897

ALEXION PHARMACEUTICALS INC COM
 
 
9,970

 
1,303

ALLERGAN PLC. COM STK
 
 
13,023

 
2,851

ALLIANT ENERGY CORP COM
 
 
131,284

 
4,943

ALLISON TRANSMISSION HOLDING
 
 
41,036

 
1,435


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Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
ALLSCRIPTS HEALTHCARE SOLUTIONS INC
 
 
100,400

 
1,176

ALLSTATE CORP COM
 
 
5,076

 
382

ALLY FINL INC COM
 
 
151,585

 
3,201

ALPHABET INC CAP STK CL A CAP STK CL A
 
 
12,275

 
10,068

ALPHABET INC CAP STK CL C CAP STK CL C
 
 
9,666

 
7,702

ALTRIA GROUP INC COM
 
 
10,991

 
782

AMAG PHARMACEUTICALS INC COM STK
 
 
88,721

 
2,138

AMAZON COM INC COM
 
 
9,944

 
8,189

AMC ENTMT HLDGS INC CL A COM CL A COM
 
 
65,735

 
2,219

AMC NETWORKS INC CL A
 
 
76,517

 
4,388

AMDOCS ORD
 
 
106,287

 
6,240

AMER ELEC PWR CO INC COM
 
 
16,535

 
1,059

AMER FINL GROUP INC OH COM STK
 
 
2,500

 
215

AMERICAN EQUITY INVT LIFE HLDG CO COM
 
 
194,165

 
4,582

AMERICAN WTR WKS CO INC NEW COM
 
 
13,100

 
962

AMERICAS CAR-MART INC COM
 
 
17,890

 
750

AMERIPRISE FINL INC COM
 
 
52,107

 
5,850

AMERISOURCEBERGEN CORP COM
 
 
113,041

 
9,866

AMN HEALTHCARE SVCS INC COM
 
 
109,616

 
3,930

AMTRUST FINL SVCS INC COM
 
 
114,015

 
3,009

ANDERSONS INC COM
 
 
32,689

 
1,234

ANTERO RES CORP COM
 
 
101,895

 
2,487

APOGEE ENTERPRISES INC COM
 
 
86,519

 
4,939

APPLE INC COM STK
 
 
84,910

 
10,304

APPLIED MATERIALS INC COM
 
 
84,520

 
2,895

ARGAN INC COM
 
 
12,888

 
950

ARRIS INTERNATIONAL LTD COM
 
 
84,800

 
2,424

ARROW ELECTR INC COM
 
 
8,500

 
625

ASPEN INSURANCE HLDGS COM
 
 
23,489

 
1,325

ASSURANT INC COM
 
 
24,900

 
2,419

ASSURED GUARANTY LTD COMMON STK
 
 
74,268

 
2,890

ASTEC INDS INC COM
 
 
11,616

 
813

AT&T INC COM
 
 
53,257

 
2,245

ATLAS AIR WORLDWIDE HLDGS INC COM NEW STK
 
 
103,555

 
5,463

AUTOZONE INC COM
 
 
9,180

 
6,655

AVERY DENNISON CORP COM
 
 
9,334

 
682

AVEXIS INC COM
 
 
13,089

 
730

AVNET INC COM
 
 
168,500

 
7,825

AVON PRODUCTS INC COM
 
 
86,000

 
505

AXIS CAPITAL HOLDINGS LTD COM
 
 
13,427

 
859

BANCORP INC DEL COM STK
 
 
284,815

 
1,706

BANK OF THE OZARKS INC COM
 
 
223,329

 
12,254

BANKUNITED INC
 
 
42,584

 
1,627

BARNES GROUP INC COM
 
 
32,392

 
1,559


10

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
BEACON ROOFING SUPPLY INC COM
 
 
32,341

 
1,416

BERKLEY W R CORP COM
 
 
13,080

 
879

BERKSHIRE HATHAWAY INC-CL B
 
 
19,915

 
3,269

BERRY PLASTICS GROUP INC COM
 
 
18,605

 
949

BIG LOTS INC COM
 
 
111,801

 
5,590

BIO RAD LABS INC CL A
 
 
5,737

 
1,090

BIOGEN INC COMMON STOCK
 
 
7,899

 
2,190

BIOTELEMETRY INC COM
 
 
40,027

 
923

BLACK BOX CORP DEL COM
 
 
50,473

 
674

BLACK KNIGHT FINL SVCS INC CL A
 
 
28,744

 
1,048

BLACKHAWK NETWORK HLDGS INC COMMON STOCK
 
 
71,290

 
2,545

BLOOMIN BRANDS INC COM
 
 
130,325

 
2,230

BOEING CO COM
 
 
23,066

 
3,769

BOFI HLDG INC COM STK
 
 
44,645

 
1,317

BOJANGLES INC COM
 
 
42,344

 
838

BOOZ ALLEN HAMILTON HLDG CORP CL A COM STK
 
 
193,716

 
6,551

BRANDYWINE RLTY TR SH BEN INT NEW REIT
 
 
288,100

 
4,638

BRINKER INTL INC COM
 
 
49,000

 
2,181

BRISTOL MYERS SQUIBB CO COM
 
 
35,900

 
1,765

BRIXMOR PPTY GROUP INC COM
 
 
305,452

 
7,371

BROADCOM LIMITED COM NPV
 
 
41,930

 
8,365

BROADRIDGE FINL SOLUTIONS INC COM STK
 
 
179,971

 
11,973

BROADSOFT INC COM
 
 
30,591

 
1,285

BRUKER CORP
 
 
113,406

 
2,691

BRUNSWICK CORP COM
 
 
15,027

 
900

BSTN PPTYS INC
 
 
20,190

 
2,643

BUNGE LTD
 
 
45,370

 
3,140

BWX TECHNOLOGIES INC COM
 
 
151,925

 
6,303

C H ROBINSON WORLDWIDE INC COM NEW
 
 
37,529

 
2,854

C R BARD
 
 
17,027

 
4,041

CABLE ONE INC COM
 
 
14,455

 
9,141

CABOT OIL & GAS CORP COM
 
 
136,000

 
2,921

CAESARSTONE LTD
 
 
22,545

 
684

CALAMP CORP COM
 
 
252,703

 
3,796

CALLAWAY GOLF CO COM
 
 
73,229

 
830

CALLIDUS SOFTWARE INC COM STK
 
 
328,167

 
6,055

CAMDEN PPTY TR SH BEN INT
 
 
34,313

 
2,868

CAMPING WORLD HLDGS INC CL A
 
 
3,076

 
97

CANADIAN PAC RY LTD COM NPV
 
 
42,439

 
6,414

CANTEL MEDICAL CORP COM
 
 
10,405

 
805

CAPITAL SR LIVING CORP COM
 
 
143,321

 
2,389

CARA THERAPEUTICS INC COM
 
 
65,011

 
996

CARDINAL HLTH INC
 
 
26,100

 
1,956

CARDIOVASCULAR SYS INC DEL COM
 
 
35,319

 
872


11

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
CARDTRONICS PLC CARDTRONICS PLC
 
 
69,680

 
3,803

CARE CAP PPTYS INC COM
 
 
15,842

 
391

CARLISLE COMPANIES INC COM
 
 
11,003

 
1,201

CARRIZO OIL & GAS INC COM
 
 
32,484

 
1,149

CASEYS GEN STORES INC COM
 
 
67,303

 
7,733

CAVIUM INC COM
 
 
59,790

 
3,959

CBOE HOLDINGS INC COM
 
 
34,900

 
2,779

CELGENE CORP COM
 
 
82,476

 
9,580

CENTENE CORP DEL COM
 
 
37,439

 
2,369

CENTERPOINT ENERGY INC COM
 
 
11,735

 
308

CENTRAL GARDEN & PET CO COM
 
 
19,004

 
624

CEVA INC COM
 
 
22,186

 
784

CHARLES RIV LABORATORIES INTL INC COM
 
 
39,448

 
3,187

CHEMICAL FINL CORP COM
 
 
133,362

 
6,592

CHEVRON CORP COM
 
 
6,125

 
682

CHICAGO BRDG & IRON CO N V COM NV
 
 
87,990

 
2,922

CHILDRENS PL INC NEW COM
 
 
6,170

 
598

CHOICE HOTELS INTL INC COM
 
 
5,097

 
283

CHURCH & DWIGHT INC COM
 
 
159,751

 
7,224

CHURCHILL DOWNS INC COM
 
 
12,692

 
1,819

CIENA CORP COM NEW
 
 
40,000

 
974

CIMAREX ENERGY CO COM
 
 
1,470

 
199

CIRCOR INTL INC COM
 
 
19,948

 
1,242

CIRRUS LOGIC INC COM
 
 
10,737

 
648

CISCO SYSTEMS INC
 
 
89,677

 
2,755

CLOVIS ONCOLOGY INC
 
 
13,467

 
873

CLUBCORP HLDGS INC COM
 
 
270,111

 
4,457

CME GROUP INC COM STK
 
 
69,980

 
8,473

CMS ENERGY CORP COM
 
 
17,423

 
742

CNO FINL GROUP INC COM
 
 
128,910

 
2,438

COCA COLA CO COM
 
 
27,022

 
1,123

COGNEX CORP COM
 
 
13,549

 
915

COHERENT INC COM
 
 
15,838

 
2,498

COLFAX CORP COM
 
 
9,600

 
374

COLGATE-PALMOLIVE CO COM
 
 
24,187

 
1,562

COLUMBIA SPORTSWEAR CO COM
 
 
39,500

 
2,148

COM ALCOA CORPORATION COM
 
 
4,948

 
180

COMCAST CORP NEW-CL A
 
 
92,323

 
6,963

COMERICA INC COM
 
 
56,700

 
3,829

COML METALS CO COM
 
 
36,964

 
755

CONAGRA BRANDS INC COM
 
 
23,855

 
932

CONDUENT INC COM
 
 
16,860

 
252

CONSTELLATION BRANDS INC CL A
 
 
29,806

 
4,464

COOPER COS INC COM NEW
 
 
13,806

 
2,549


12

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
COOPER-STANDARD HOLDING COM
 
 
6,800

 
716

CORECIVIC INC COM
 
 
45,994

 
1,336

CORE-MARK HLDG CO INC COM
 
 
69,901

 
2,442

CORNERSTONE ONDEMAND INC COM
 
 
86,178

 
3,507

COSTAR GROUP INC COM
 
 
6,923

 
1,399

CRANE CO COM
 
 
34,465

 
2,483

CROWN CASTLE INTL CORP NEW COM
 
 
59,933

 
5,264

CROWN HLDGS INC COM
 
 
25,433

 
1,378

CSRA INC COM
 
 
26,185

 
812

CURTISS WRIGHT CORP COM
 
 
53,858

 
5,281

CYBEROPTICS CORP COM
 
 
20,332

 
732

CYPRESS SEMICONDUCTOR CORP COM
 
 
282,179

 
3,330

DANAHER CORP COM
 
 
49,160

 
4,126

DARDEN RESTAURANTS INC COM
 
 
1,729

 
127

DAVE & BUSTERS ENTMT INC COM
 
 
17,494

 
953

DAVITA INC COM
 
 
591

 
38

DDR CORP COM
 
 
96,627

 
1,467

DEAN FOODS CO NEW COM NEW COM
 
 
22,100

 
439

DEL TACO RESTAURANTS INC NEW COM
 
 
70,335

 
959

DELL TECHNOLOGIES INC COM CL V
 
 
4,361

 
275

DELPHI AUTOMOTIVE PLC
 
 
2,817

 
197

DEVRY EDUCATION GROUP INC
 
 
25,400

 
851

DEXCOM INC COM
 
 
79,070

 
6,258

DIAMONDBACK ENERGY INC COM
 
 
49,345

 
5,190

DICKS SPORTING GOODS INC OC-COM
 
 
8,914

 
460

DIGITALGLOBE INC COM NEW
 
 
81,577

 
2,288

DISCOVER FINL SVCS COM STK
 
 
138,093

 
9,567

DOMINOS PIZZA INC COM
 
 
18,990

 
3,315

DOMTAR CORP COM NEW
 
 
12,501

 
546

DR PEPPER SNAPPLE GROUP INC COM STK
 
 
29,631

 
2,702

DRIL-QUIP INC COM
 
 
2,319

 
144

DTE ENERGY CO COM
 
 
32,800

 
3,235

DUN & BRADSTREET CORP DEL NEW COM
 
 
19,305

 
2,367

DYCOM INDS INC COM
 
 
29,197

 
2,355

E TRADE FINL CORP FORMERLY E TRADE GROUPINC TO 10/01/2003 COM NEW
 
 
69,650

 
2,608

EAGLE MATLS INC COM
 
 
48,750

 
5,098

EAGLE PHARMACEUTICALS INC COM
 
 
10,079

 
698

EAST WEST BANCORP INC COM
 
 
78,830

 
4,055

EBIX INC FORMERLY EBIX COM INC
 
 
6,520

 
362

ECHOSTAR CORPORATION
 
 
16,811

 
856

EDGEWELL PERS CARE CO COM
 
 
31,247

 
2,464

EDWARDS LIFESCIENCES CORP COM
 
 
74,810

 
7,200

ELECTR ARTS COM
 
 
66,617

 
5,558


13

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
ELECTRONICS FOR IMAGING INC COM
 
 
21,454

 
964

ELLIS PERRY INTL INC COM
 
 
30,066

 
709

EMCOR GROUP INC COM
 
 
11,312

 
788

ENDO INTL LTD COM STK
 
 
63,300

 
775

ENDOLOGIX INC COM
 
 
241,242

 
1,655

ENERGEN CORP COM
 
 
46,104

 
2,485

ENERGIZER HLDGS INC NEW COM
 
 
104,263

 
5,262

ENSCO PLC SHS CLASS A COM
 
 
37,560

 
410

ENTERGY CORP NEW COM
 
 
7,200

 
516

EOG RESOURCES INC COM
 
 
76,170

 
7,737

EQTY LIFESTYLE PPTYS INC REIT
 
 
14,318

 
1,059

EQUIFAX INC COM
 
 
81,570

 
9,567

ESSENDANT INC
 
 
20,465

 
428

EVERCORE PARTNERS INC CL A
 
 
12,358

 
957

EVEREST RE GROUP COM
 
 
20,636

 
4,538

EXACT SCIENCES CORP COM
 
 
184,820

 
3,502

EXELIXIS INC COM STK
 
 
64,712

 
1,173

EXELON CORP COM
 
 
16,730

 
600

EXPEDIA INC DEL COM NEW
 
 
52,750

 
6,414

EXPRESS INC COM
 
 
225,618

 
2,398

EXXON MOBIL CORP COM
 
 
45,976

 
3,857

F N B CORP PA COM
 
 
400,275

 
5,980

F5 NETWORKS INC COM STK
 
 
24,644

 
3,303

FACEBOOK INC CL A
 
 
103,377

 
13,472

FACTSET RESH SYS INC COM STK
 
 
37,418

 
6,475

FAIRMOUNT SANTROL HLDGS INC COMMON STOCK
 
 
71,744

 
898

FEDT INVESTORS INC CL B
 
 
31,539

 
820

FID NATL FINL INC NEW FORMERLY FID FNFV GROUP COM STK
 
 
5,800

 
75

FIESTA RESTAURANT GROUP INC COM
 
 
113,176

 
2,977

FINANCIAL ENGINES INC COM
 
 
30,851

 
1,189

FINISAR CORPORATION COMMON STOCK
 
 
61,455

 
1,817

FIREEYE INC COM
 
 
255,973

 
3,468

FIRST REP BK SAN FRANCISCO CALIF NEW COM
 
 
1,949

 
184

FIRSTENERGY CORP COM
 
 
100,399

 
3,044

FISERV INC COM
 
 
3,112

 
334

FIVE9 INC COM
 
 
179,496

 
2,775

FLEETCOR TECHNOLOGIES INC COM
 
 
12,700

 
1,873

FLEX LTD FLEX LTD
 
 
47,894

 
750

FLIR SYS INC COM
 
 
138,229

 
4,884

FLOWERS FOODS INC COM
 
 
121,700

 
2,447

FORTINET INC COM
 
 
17,100

 
569

FORTIS INC COM STK
 
 
103,608

 
3,330

FORTIVE CORP COMMON STOCK
 
 
6,871

 
380

FOSTER L B CO CL A
 
 
104,524

 
1,568


14

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
FRANKS INTERNATIONAL NVRY5H0
 
 
6,321

 
75

GALLAGHER ARTHUR J & CO COM
 
 
2,461

 
132

GARTNER INC COM
 
 
13,660

 
1,357

GENTHERM INC COM NPV
 
 
57,436

 
2,033

GIBRALTAR INDS INC COM
 
 
16,403

 
720

GIGAMON INC COM
 
 
15,204

 
504

GLAUKOS CORP COM
 
 
15,977

 
659

GODADDY INC CL A
 
 
42,784

 
1,529

GOGO INC COM
 
 
167,201

 
1,530

GOLDMAN SACHS GROUP INC COM*
 
 
47,953

 
10,997

GRAND CANYON ED INC COM STK
 
 
12,784

 
754

GREAT PLAINS ENERGY INC COM
 
 
1,186

 
33

GREAT WESTN BANCORP INC COM
 
 
128,500

 
5,493

GREEN DOT CORP COM STK
 
 
166,192

 
4,454

GRIFFON CORP COM
 
 
33,575

 
854

GTT COMMUNICATIONS INC COM
 
 
28,103

 
794

GULFPORT ENERGY CORP COM NEW
 
 
212,795

 
4,447

HALLIBURTON CO COM
 
 
123,230

 
6,971

HANESBRANDS INC COM STK
 
 
364,437

 
8,641

HANOVER INS GROUP INC COM
 
 
34,200

 
2,871

HARRIS CORP COM
 
 
85,709

 
8,803

HARTFORD FINL SVCS GROUP INC COM
 
 
17,000

 
828

HASBRO INC COM
 
 
14,636

 
1,208

HAWAIIAN ELEC INDS INC COM
 
 
82,190

 
2,752

HCP INC COM REIT
 
 
108,000

 
3,275

HEALTHSOUTH CORP COM NEW STK
 
 
178,084

 
6,913

HEARTLAND FINL USA INC COM STK
 
 
15,613

 
731

HELEN TROY LTD COM STK
 
 
50,855

 
4,745

HENRY SCHEIN INC COMMON STOCK
 
 
4,618

 
738

HESKA CORP COM RESTRICTED NEW STOCK
 
 
8,326

 
663

HEXCEL CORP NEW COM
 
 
24,502

 
1,258

HIGHWOODS PPTYS INC COM
 
 
70,400

 
3,619

HOME BANCSHARES INC COM
 
 
93,872

 
2,529

HOME DEPOT INC COM
 
 
94,865

 
13,052

HONEYWELL INTL INC COM STK
 
 
617

 
73

HOOKER FURNITURE CORP COM
 
 
21,504

 
714

HORIZON GLOBAL CORP COM
 
 
33,734

 
660

HORMEL FOODS CORP COM
 
 
154,926

 
5,624

HOST HOTELS & RESORTS INC REIT
 
 
21,043

 
380

HOSTESS BRANDS INC CL A CL A
 
 
228,609

 
3,267

HP INC COM
 
 
53,000

 
798

HUBBELL INC COM
 
 
33,400

 
4,077

HUDSON PACIFIC PROPERTIES INC COM
 
 
70,200

 
2,486

HUDSON TECHNOLOGIES INC COM STK
 
 
101,475

 
737


15

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
HUNTINGTON INGALLS INDS INC COM
 
 
40,424

 
7,841

HURON CONSULTING GROUP INC COM STK
 
 
35,052

 
1,588

IAC / INTERACTIVECORP COM
 
 
11,804

 
812

IBERIABANK CORP COM
 
 
9,058

 
744

ICF INTL INC COM STK
 
 
14,981

 
779

ICU MED INC COM
 
 
19,939

 
2,734

IDACORP INC COM
 
 
62,300

 
4,985

IDEXX LABS INC COM
 
 
23,790

 
2,910

II-VI INC COM
 
 
26,925

 
983

IMPERVA INC
 
 
19,439

 
812

IMPINJ INC COM
 
 
24,395

 
859

INDEPENDENT BK GROUP INC COM
 
 
13,582

 
844

INFINERA CORP COM STK
 
 
160,632

 
1,447

INGREDION INC COM
 
 
11,222

 
1,439

INNOSPEC INC COM STK
 
 
11,308

 
807

INPHI CORP COM
 
 
25,101

 
1,150

INSTALLED BLDG PRODS INC COM
 
 
24,911

 
1,019

INTEGRA LIFESCIENCES HLDG CORP COM DESP
 
 
67,731

 
2,826

INTEGRATED DEVICE TECHNOLOGY INC COM
 
 
133,670

 
3,367

INTEL CORP COM
 
 
30,467

 
1,122

INTERCEPT PHARMACEUTICALS INC COM
 
 
8,313

 
912

INTERDIGITAL INC PA FOR FUTURE ISSUES SEE 458660 COM
 
 
10,117

 
945

INTERFACE INC COM
 
 
203,800

 
3,709

INTERNATIONAL BUSINESS MACHS CORP COM
 
 
3,910

 
682

INTERXION HOLDING NV COM
 
 
90,601

 
3,482

INTL FLAVORS & FRAGRANCES INC COM
 
 
46,103

 
5,404

INTUIT COM
 
 
48,140

 
5,708

INTUITIVE SURGICAL INC COM NEW STK
 
 
1,240

 
859

INVENTURE FOODS INC COM STK
 
 
145,487

 
871

IPG PHOTONICS CORP COM
 
 
7,245

 
833

IROBOT CORP COM
 
 
27,382

 
1,658

J & J SNACK FOODS CORP COM STK NPV
 
 
28,900

 
3,687

J2 GLOBAL INC COM
 
 
78,174

 
6,552

JABIL CIRCUIT INC COM
 
 
125,800

 
3,017

JACK HENRY & ASSOC INC COM
 
 
111,504

 
10,011

JACK IN THE BOX INC COM
 
 
37,302

 
4,026

JOHN BEAN TECHNOLOGIES CORP COM STK
 
 
11,089

 
958

JOHNSON & JOHNSON COM
 
 
28,845

 
3,267

JOHNSON CTLS INTL PLC COM
 
 
4,373

 
192

JUNIPER NETWORKS INC COM
 
 
116,600

 
3,123

KAPSTONE PAPER & PACKAGING CORP KAPSTONEPAPER AND PACKAGING CORP COMMON STOCK
 
 
278,705

 
6,683

KATE SPADE & COMPANY COM
 
 
49,510

 
916

KBR INC COM
 
 
65,800

 
1,119


16

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
KEYSIGHT TECHNOLOGIES INC COM
 
 
18,043

 
669

KIMBERLY-CLARK CORP COM
 
 
18,007

 
2,181

KLX INC COM
 
 
17,265

 
846

KORN / FERRY INTL COM NEW
 
 
66,895

 
1,943

KRATOS DEFENSE & SECURITY SOLUTIONS INC
 
 
115,196

 
949

L3 TECHNOLOGIES INC COM
 
 
19,149

 
3,039

LAM RESH CORP COM
 
 
93,554

 
10,746

LAMB WESTON HLDGS INC COM
 
 
7,951

 
297

LANDSTAR SYS INC COM
 
 
31,464

 
2,662

LANNETT INC COM
 
 
317,630

 
6,400

LCI INDUSTRIES COM
 
 
7,854

 
862

LEAR CORP COM NEW COM NEW
 
 
380

 
54

LENDINGTREE INC NEW COM
 
 
14,619

 
1,636

LIBERTY INTERACTIVE CORP LIBERTY VENTURES COM SER A NEW SER A NEW
 
 
47,271

 
2,063

LIBERTY PPTY TR SH BEN INT
 
 
1,657

 
64

LIGAND PHARMACEUTICALS INCORPORATED CL BCOMMON STOCK
 
 
29,990

 
3,179

LITTELFUSE INC COM
 
 
5,583

 
880

LIVE NATION ENTERTAINMENT INC
 
 
45,608

 
1,305

LKQ CORP COM LKQ CORP
 
 
59,876

 
1,911

LOCKHEED MARTIN CORP COM
 
 
33,320

 
8,374

LOGMEIN INC COM
 
 
31,133

 
3,365

LOWES COS INC COM
 
 
27,416

 
2,004

LOXO ONCOLOGY INC COM
 
 
29,217

 
1,146

LSB INDS INC COM
 
 
318,467

 
2,710

LSC COMMUNICATIONS INC COM
 
 
7,300

 
191

LUMENTUM HLDGS INC COM
 
 
100,428

 
3,811

LYDALL INC COM
 
 
12,655

 
772

LYON WILLIAM HOMES CL A NEW COM
 
 
115,246

 
2,034

MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC COM STK
 
 
17,418

 
828

MACYS INC COM STK
 
 
93,800

 
2,771

MAGELLAN HEALTH INC COM NEW
 
 
13,400

 
1,004

MALLINCKRODT PLC COMMON STOCK
 
 
53,000

 
2,583

MANHATTAN ASSOCS INC COM
 
 
38,335

 
1,965

MANPOWERGROUP INC
 
 
47,093

 
4,495

MARKETAXESS HLDGS INC COM STK
 
 
47,181

 
8,835

MARVELL TECH GROUP COM
 
 
239,448

 
3,561

MASIMO CORP COM STK
 
 
8,755

 
644

MASONITE INTL CORP NEW COM
 
 
49,835

 
3,319

MASTEC INC COM
 
 
47,903

 
1,784

MASTERCARD INC CL A
 
 
122,837

 
13,061

MAXIMUS INC COM
 
 
77,691

 
4,284

MAXLINEAR INC-CLASS A
 
 
191,335

 
4,894

MC DONALDS CORP COM
 
 
18,182

 
2,229


17

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
MCGRATH RENTCORP COM
 
 
22,402

 
858

MCKESSON CORP
 
 
22,790

 
3,171

MDU RES GROUP INC COM
 
 
10,424

 
306

MEDICINES COMPANY COM
 
 
62,384

 
2,249

MEDTRONIC PLC COMMON STOCK
 
 
3,731

 
284

MELLANOX TECHNOLOGIES LTD COM STK
 
 
72,925

 
3,453

MERCK & CO INC NEW COM
 
 
52,557

 
3,258

MERCURY SYSTEMS INC
 
 
24,437

 
824

MERIT MED SYS INC COM
 
 
9,962

 
253

META FINL GROUP INC COM
 
 
8,715

 
766

MFB NTGI COLL DLY GOVT STIF
 
 
9,331,235

 
9,331

MGM RESORTS INTERNATIONAL COM
 
 
146,010

 
4,205

MICROCHIP TECHNOLOGY INC COM
 
 
132,650

 
8,934

MICROSEMI CORP COM
 
 
14,841

 
789

MICROSOFT CORP COM
 
 
249,524

 
16,132

MILLER HERMAN INC COM
 
 
77,228

 
2,410

MINDBODY INC COM CL A
 
 
42,399

 
1,032

MKS INSTRS INC COM
 
 
13,700

 
903

MLP LAZARD LTD CL A
 
 
134,019

 
5,693

MLP SUNOCO LOGISTICS PARTNERS L P COM UNITS
 
 
140,881

 
3,595

MODINE MFG CO COM STK
 
 
69,731

 
948

MOLINA HEALTHCARE INC COM
 
 
101,288

 
5,745

MONOLITHIC PWR SYS INC COM
 
 
10,295

 
898

MONRO MUFFLER BRAKE INC COM
 
 
41,613

 
2,493

MORNINGSTAR INC COM STK
 
 
8,147

 
620

MOTOROLA SOLUTIONS INC
 
 
59,183

 
4,777

MSCI INC COMMON
 
 
66,259

 
5,483

MUELLER WTR PRODS INC COM SER A STK
 
 
61,451

 
827

MURPHY USA INC COM
 
 
20,151

 
1,284

N V R INC COM
 
 
1,508

 
2,802

NANOMETRICS INC COM DELAWARE
 
 
36,347

 
934

NATIONAL CINEMEDIA INC COM
 
 
18,087

 
265

NATIONAL GEN HLDGS CORP COM
 
 
49,351

 
1,209

NAVIGANT CONSULTING INC COM
 
 
33,993

 
840

NAVISTAR INTL CORP NEW COM
 
 
17,800

 
485

NEENAH PAPER INC COM
 
 
9,828

 
807

NETAPP INC COM STK
 
 
101,100

 
3,874

NETGEAR INC COM
 
 
13,537

 
770

NEWFIELD EXPLORATION
 
 
70,200

 
2,814

NEWMARKET CORP COM
 
 
10,722

 
4,623

NEXSTAR MEDIA GROUP INC CL A
 
 
13,772

 
901

NEXTERA ENERGY INC COM
 
 
34,792

 
4,304

NIELSEN HOLDINGS PLC COMSTK
 
 
146,242

 
5,983

NIKE INC CL B
 
 
22,450

 
1,188


18

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
NISOURCE INC COM
 
 
28,087

 
628

NOBLE CORP PLC COMMON STOCK
 
 
133,700

 
902

NORDSON CORP COM
 
 
82,052

 
9,315

NORTHERN TR CORP COM*
 
 
41,500

 
3,443

NORTHROP GRUMMAN CORP COM
 
 
10,942

 
2,507

NORTHWESTERN CORP COM NEW
 
 
82,056

 
4,686

NOVADAQ TECHNOLOGIES INC COM
 
 
239,669

 
1,620

NU SKIN ENTERPRISES INC CL A
 
 
28,700

 
1,489

NUANCE COMMUNICATIONS INC COM
 
 
114,100

 
1,810

NUTRI SYS INC NEW COM
 
 
21,683

 
717

NUVASIVE INC COM
 
 
22,200

 
1,571

O REILLY AUTOMOTIVE INC NEW COM
 
 
15,950

 
4,183

OASIS PETE INC NEW COM STK
 
 
55,377

 
783

OCEANEERING INTL INC COM
 
 
7,113

 
198

OCEANFIRST FINL CORP COM
 
 
31,579

 
897

OCLARO INC COM NEW
 
 
90,434

 
887

OFG BANCORP COM
 
 
464,244

 
6,151

OMEGA HEALTHCARE INVS INC REIT
 
 
164,361

 
5,271

OMEGA PROTEIN CORP COM
 
 
49,901

 
1,245

ON ASSIGNMENT INC COM
 
 
137,549

 
6,228

ON DECK CAP INC COM
 
 
177,383

 
892

ON SEMICONDUCTOR CORP COM
 
 
269,698

 
3,592

OPEN TEXT CORP COM
 
 
78,280

 
2,683

ORACLE CORP COM
 
 
12,231

 
491

ORASURE TECHNOLOGIES INC COM
 
 
92,949

 
820

ORBITAL ATK INC COM
 
 
42,643

 
3,708

ORBOTECH LTD SH COM
 
 
30,559

 
1,066

OSHKOSH CORPORATION
 
 
12,245

 
853

OSI SYS INC COM
 
 
48,786

 
3,643

OWENS CORNING NEW COM STK
 
 
60,013

 
3,316

OWENS ILL INC COM NEW
 
 
105,515

 
1,994

PAC PREMIER BANCORP COM
 
 
23,300

 
917

PACIRA PHARMACEUTICALS INC COM
 
 
50,813

 
1,954

PALO ALTO NETWORKS INC COM
 
 
19,650

 
2,900

PANERA BREAD CO CL A
 
 
12,650

 
2,645

PAPA JOHNS INTL INC COM
 
 
7,194

 
613

PARAMOUNT GROUP INC COM
 
 
121,021

 
2,020

PARKER-HANNIFIN CORP COM
 
 
1,834

 
270

PARSLEY ENERGY INC CL A
 
 
188,631

 
6,644

PARTY CITY HOLDCO INC COM
 
 
61,960

 
895

PATRICK INDS INC COM
 
 
9,686

 
792

PATTERSON COS INC COM
 
 
117,082

 
4,872

PBF ENERGY INC CL A
 
 
231,849

 
5,377

PDF SOLUTIONS INC COM
 
 
149,490

 
3,365


19

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
PENN NATL GAMING INC COM
 
 
112,718

 
1,553

PEPSICO INC COM
 
 
41,127

 
4,268

PERFICIENT INC COM STK
 
 
47,268

 
838

PERKINELMER INC COM
 
 
87,656

 
4,662

PERRIGO COMPANY LIMITED COM
 
 
37,900

 
2,886

PFD BK L A CAL COM
 
 
18,097

 
1,003

PFIZER INC COM
 
 
100,813

 
3,199

PHILIP MORRIS INTL COM STK NPV
 
 
90,970

 
8,745

PIONEER ENERGY SVCS CORP COM
 
 
137,325

 
865

PK NATL CORP COM
 
 
7,149

 
792

PLANET FITNESS INC CL A
 
 
110,653

 
2,328

PNM RES INC COM
 
 
8,300

 
286

POLYONE CORP COM
 
 
75,502

 
2,575

POPULAR INC COM NEW COM
 
 
60,680

 
2,696

POWER SOLUTIONS INTL INC COM NEW
 
 
48,937

 
362

PPDC ENERGY INC COM
 
 
46,373

 
3,429

PPG IND INC COM
 
 
30,220

 
3,022

PPL CORP COM ISIN US69351T1060
 
 
54,570

 
1,901

PREMIER INC CL A
 
 
133,671

 
4,259

PRESTIGE BRANDS HLDGS INC COM
 
 
86,862

 
4,583

PRIMERICA INC COM
 
 
11,229

 
847

PRINCIPAL FINL GROUP INC COM STK*
 
 
73,515

 
4,197

PROCTER & GAMBLE COM NPV
 
 
56,176

 
4,921

PROOFPOINT INC COM
 
 
42,136

 
3,378

PROSPERITY BANCSHARES INC COM
 
 
90,061

 
6,541

PRUDENTIAL FINL INC COM*
 
 
15,270

 
1,605

PS BUSINESS PKS INC CALIF COM
 
 
38,559

 
4,320

PTC INC COM
 
 
18,531

 
974

PVH CORP COM
 
 
40,767

 
3,824

PVTPL DELUXE CORP COM STK
 
 
38,920

 
2,835

QUANTA SVCS INC COM
 
 
76,008

 
2,728

QUEST DIAGNOSTICS INC COM
 
 
92,013

 
8,458

QUOTIENT TECHNOLOGY INC COM
 
 
140,511

 
1,496

RAYMOND JAMES FNCL INC COM STK
 
 
26,398

 
1,978

REALPAGE INC COM STK
 
 
27,924

 
854

RED HAT INC COM
 
 
984

 
75

REGAL ENTMT GROUP CL A
 
 
11,117

 
252

REGENCY CTRS CORP COM
 
 
8,935

 
623

REGENXBIO INC COM
 
 
35,252

 
652

REINSURANCE GROUP AMER INC COM NEW STK
 
 
4,801

 
602

RENAISSANCE RE HLDGS LTD COM
 
 
591

 
81

RESMED INC COM
 
 
113,326

 
7,654

RESOLUTE ENERGY CORP COM NEW
 
 
23,163

 
1,065

RETAIL PPTYS AMER INC CL A
 
 
17,500

 
262


20

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
RICE ENERGY INC COM
 
 
78,500

 
1,557

RING ENERGY INC COM
 
 
61,368

 
810

ROCKWELL AUTOMATION
 
 
48,727

 
7,211

ROSS STORES INC COM
 
 
133,376

 
8,817

RSP PERMIAN INC COM
 
 
135,401

 
5,763

RUDOPLH TECHNOLOGIES INC COM
 
 
40,216

 
923

S&P GLOBAL INC COM
 
 
18,376

 
2,208

SAIA INC COM STK
 
 
9,988

 
480

SALESFORCE COM INC COM STK
 
 
53,980

 
4,270

SANCHEZ ENERGY CORP COM
 
 
63,162

 
838

SANDERSON FARMS INC COM
 
 
7,900

 
719

SAREPTA THERAPEUTICS INC COM
 
 
43,182

 
1,341

SCHLUMBERGER LTD COM COM
 
 
21,090

 
1,765

SCHULMAN A INC COM
 
 
95,295

 
3,288

SCHWAB CHARLES CORP COM NEW
 
 
153,640

 
6,336

SCIENCE APPLICATIONS INTL CORP NEW COM
 
 
9,505

 
774

SCOTTS MIRACLE-GRO CLASS'A'COM NPV
 
 
11,275

 
1,037

SCRIPPS NETWORKS INTERACTIVE INC CL A COM STK
 
 
100,461

 
7,651

SEMTECH CORP COM
 
 
25,972

 
856

SENSIENT TECHNOLOGIES CORP COM
 
 
47,655

 
3,658

SERVICE CORP INTL COM
 
 
219,898

 
6,406

SHERWIN-WILLIAMS CO COM
 
 
23,492

 
7,137

SHIRE PLC ADR
 
 
22,710

 
3,811

SHUTTERFLY INC COM
 
 
31,394

 
1,611

SIGNATURE BK NY N Y COM
 
 
17,479

 
2,753

SIGNET JEWELERS LTD ORD
 
 
9,453

 
734

SILGAN HLDGS INC COM
 
 
26,873

 
1,572

SILICON LABORATORIES INC COM
 
 
10,070

 
657

SIMON PROPERTY GROUP INC COM
 
 
15,081

 
2,771

SKECHERS U S A INC CL A CL A ISIN #US8305661055
 
 
70,000

 
1,758

SKYWEST INC COM
 
 
16,879

 
598

SKYWORKS SOLUTIONS INC COM
 
 
29,773

 
2,731

SL GREEN RLTY CORP COM STK
 
 
24,750

 
2,697

SM ENERGY CO COM
 
 
38,802

 
1,184

SMITH A O CORP COM
 
 
48,798

 
2,379

SNAP-ON INC COM
 
 
55,627

 
10,098

SNYDERS-LANCE INC COM
 
 
83,077

 
3,188

SOUTH ST CORP COM
 
 
25,775

 
2,304

SOUTHWESTERN ENERGY CO COM
 
 
447,745

 
4,034

SPARTAN MTRS INC COM
 
 
93,744

 
741

SPIRIT AEROSYSTEMS HLDGS INC CL A
 
 
19,480

 
1,170

SPLUNK INC COMSTK COM
 
 
40,400

 
2,338

STAG INDL INC COM
 
 
145,238

 
3,361

STAMPS COM INC COM NEW
 
 
6,612

 
804


21

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
STANLEY BLACK & DECKER INC COM
 
 
6,096

 
756

STARBUCKS CORP COM
 
 
18,650

 
1,030

STEEL DYNAMICS INC COM
 
 
77,900

 
2,634

STERICYCLE INC COM
 
 
1,789

 
138

STERIS PLC NEW STERIS LTD COMSTK
 
 
146,654

 
10,388

SUMMIT MATLS INC CL A
 
 
32,267

 
810

SUN TR BANKS INC COM*
 
 
6,932

 
394

SUPERNUS PHARMACEUTICALS INC COM STK
 
 
83,572

 
2,261

SVB FINANCIAL GROUP COMMON STOCK
 
 
15,900

 
2,738

SWIFT TRANSN CO CL A COM STK
 
 
130,820

 
2,987

SYNAPTICS INC COM
 
 
2,900

 
164

SYNCHRONOSS TECHNOLOGIES INC COM STK
 
 
153,047

 
5,895

SYNCHRONY FINL COM
 
 
75,227

 
2,695

SYNERGY PHARMACEUTICALS INC FLA COM NEW
 
 
173,912

 
1,230

SYNNEX CORP COM STK
 
 
8,100

 
973

SYNOPSYS INC COM
 
 
2,120

 
133

SYNOVUS FINL CORP COM NEW
 
 
62,500

 
2,605

SYSCO CORP COM
 
 
18,710

 
982

TABLEAU SOFTWARE INC CL A
 
 
31,590

 
1,511

TANGER FACTORY OUTLET CTRS INC COM
 
 
174,192

 
5,956

TAUBMAN CTRS INC COM
 
 
5,513

 
391

TCF FNCL CORP COM
 
 
85,348

 
1,481

TEAM INC COM STK
 
 
52,449

 
1,762

TECH DATA CORP COM
 
 
29,716

 
2,543

TEGNA INC COM
 
 
87,100

 
1,995

TELADOC INC COM
 
 
40,657

 
813

TELEFLEX INC COM
 
 
37,274

 
6,252

TELIGENT INC NEW COM
 
 
246,137

 
1,723

TENNECO INC
 
 
24,278

 
1,638

TERADYNE INC COM
 
 
87,810

 
2,492

TEREX CORP NEW COM
 
 
116,320

 
3,699

TESARO INC COM
 
 
5,913

 
963

TETRA TECH INC NEW COM
 
 
19,006

 
831

TEXTRON INC COM
 
 
70,200

 
3,325

THE PRICELINE GROUP INC
 
 
2,720

 
4,284

THOR INDS INC COM STK
 
 
7,224

 
748

TIDEWATER INC COM
 
 
632,338

 
1,391

TIME INC NEW COM
 
 
39,932

 
769

TITAN INTL INC ILL COM
 
 
76,850

 
1,021

TIVITY HEALTH INC COM
 
 
33,368

 
856

TOLL BROS INC COM
 
 
32,745

 
1,027

TORO CO COM
 
 
1,498

 
88

TRACTOR SUPPLY CO COM
 
 
81,162

 
5,979

TRIBUNE MEDIA COMPANY CLASS A COMMON STOCK
 
 
61,600

 
1,777


22

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
TRIMBLE INC COM TRIMBLE INC
 
 
51,440

 
1,524

TRIUMPH GROUP INC NEW COM
 
 
115,857

 
3,099

TRUECAR INC COM
 
 
91,262

 
1,200

TTM TECHNOLOGIES INC COM
 
 
46,155

 
684

TUTOR PERINI CORP COM
 
 
25,363

 
756

TWILIO INC CL A
 
 
5,900

 
170

TWITTER INC COM
 
 
84,400

 
1,487

U S CONCRETE INC COMMON STOCK
 
 
20,710

 
1,357

U S SILICA HLDGS INC
 
 
12,904

 
763

U.S. CELLULAR CORP COM
 
 
6,890

 
307

ULTA BEAUTY INC COM STK
 
 
7,870

 
2,143

ULTRA CLEAN HLDGS INC COM
 
 
69,340

 
869

UMPQUA HLDGS CORP COM
 
 
147,580

 
2,702

UNION PAC CORP COM
 
 
56,450

 
6,016

UNITED NAT FOODS INC COM
 
 
28,130

 
1,286

UNITED STS STL CORP NEW COM
 
 
42,000

 
1,374

UNITEDHEALTH GROUP INC COM
 
 
6,030

 
977

UNIVEST CORP PA COM
 
 
27,240

 
767

UNVL HEALTH SERVICES INC CL B COM
 
 
4,936

 
556

VAIL RESORTS INC COM
 
 
12,866

 
2,207

VANTIV INC COM
 
 
25,962

 
1,616

VASCO DATA SEC INTL INC COM
 
 
119,840

 
1,822

VEEVA SYS INC CL A COM
 
 
15,597

 
660

VERIFONE SYSTEMS INC COM
 
 
450,660

 
8,188

VERIZON COMMUNICATIONS COM
 
 
71,011

 
3,480

VERSUM MATLS LLC COM
 
 
6,186

 
173

VERTEX PHARMACEUTICALS INC COM
 
 
13,170

 
1,131

VIAD CORP COM NEW
 
 
17,584

 
771

VIAVI SOLUTIONS INC COM NPV
 
 
416,606

 
3,729

VISA INC COM CL A STK
 
 
107,422

 
8,885

VISTEON CORP COM NEW
 
 
42,439

 
3,801

VONAGE HLDGS CORP COM
 
 
110,934

 
787

VOYA FINL INC COM
 
 
181,138

 
7,285

VWR CORP COM
 
 
8,627

 
224

WAGEWORKS INC COM
 
 
71,063

 
5,127

WALGREENS BOOTS ALLIANCE INC COM
 
 
7,973

 
653

WALT DISNEY CO
 
 
12,121

 
1,341

WASHINGTON PRIME GROUP NEW COM
 
 
79,665

 
769

WASTE CONNECTIONS INC COM
 
 
118,151

 
9,488

WATERS CORP COM
 
 
8,204

 
1,162

WEBSTER FNCL CORP WATERBURY CONN COM
 
 
23,899

 
1,255

WELLCARE HLTH PLANS INC COM
 
 
21,389

 
3,113

WELLS FARGO & CO NEW COM STK
 
 
44,637

 
2,514

WESCO AIRCRAFT HOLDINGS INC
 
 
146,213

 
2,215


23

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
WESCO INTL INC COM
 
 
36,866

 
2,606

WESTERN ALLIANCE BANCORPORATION COM
 
 
141,375

 
6,981

WESTN DIGITAL CORP COM
 
 
47,154

 
3,760

WEX INC COM
 
 
34,892

 
3,989

WHITING PETE CORP COM STK
 
 
267,000

 
2,961

WINGSTOP INC COM
 
 
26,857

 
765

WINTRUST FINL CORP COM
 
 
131,469

 
9,413

WOODWARD INC COM
 
 
45,675

 
3,181

WORLD FUEL SERVICE COM STK
 
 
59,478

 
2,646

WRIGHT MEDICAL GROUP NV
 
 
82,793

 
2,085

WYNDHAM WORLDWIDE CORP COM STK
 
 
67,974

 
5,374

XCEL ENERGY INC COM
 
 
65,955

 
2,725

XEROX CORP COM
 
 
84,300

 
584

XILINX INC COM
 
 
105,393

 
6,134

XL GROUP LTD XL GROUP LTD COM NPV
 
 
137,700

 
5,173

XPO LOGISTICS INC COM
 
 
57,272

 
2,562

XYLEM INC COM
 
 
5,779

 
285

YUM CHINA HLDGS INC COM
 
 
29,282

 
805

ZAYO GROUP HLDGS INC COM
 
 
35,452

 
1,133

ZEBRA TECHNOLOGIES CORP CL A
 
 
75,325

 
6,302

ZELTIQ AESTHETICS INC COM
 
 
15,010

 
666

ZIONS BANCORP COM
 
 
237,422

 
10,017

ZOETIS INC COM CL 'A'
 
 
116,228

 
6,386

ZYNGA INC
 
 
696,600

 
1,755

TOTAL OTHER EQUITY SECURITIES
 
 

 
1,803,359

MUTUAL FUNDS
 
 

 


AMERICAN EUROPACIFIC GRTH-R6
 
 

 
547,668

PIMCO FDS PAC INVT MGMT SER ALL AST FD INSTL CL 722005626
 
 

 
652,472

TOTAL MUTUAL FUNDS
 
 

 
1,200,140

BONDS
 
 

 


21ST CENTY FOX 6.4% DUE 12-15-2035
 
 

 
262

ABBOTT LABS 2.9% DUE 11-30-2021
 
 

 
1,747

ABBOTT LABS 4.9% DUE 11-30-2046
 
 

 
721

ABBVIE INC 4.45% DUE 05-14-2046
 
 

 
481

ABBVIE INC FIXED 1.8% DUE 05-14-2018
 
 

 
2,116

ACTAVIS FDG SCS 3.45% DUE 03-15-2022
 
 

 
3,210

AERCAP IRELAND CAP 4.5% DUE 05-15-2021
 
 

 
2,730

AJAX MORTGAGE LOAN TRUST SER 16-C CL A 144A SETUP 10-25-2057
 
 

 
928

AL ECON SETTLEMENT AUTH BP SETTLEMENT REV 3.163 09-15-2025 BEO TAXABLE
 
 

 
2,096

AMERICAN INTERNATIONAL GROUP INC BNDS 4.8% DUE 07-10-2045 REG
 
 

 
585

AMERICREDIT 2.24% DUE 04-08-2022
 
 

 
1,220

AMERICREDIT 2.41% DUE 07-08-2022
 
 

 
940

AMERICREDIT 2.71% DUE 09-08-2022
 
 

 
404


24

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
AMERICREDIT AUTOMOBILE RECEIVABLES TR 2016-1 NT CL A-2-B 06-10-2019 REG
 
 

 
1,127

AMERICREDIT FLTG RT 1.59667% DUE 04-08-2019
 
 

 
805

AMERN INTL GROUP 4.5% DUE 07-16-2044
 
 

 
389

ANADARKO PETE CORP 4.5% DUE 07-15-2044
 
 

 
520

ANADARKO PETE CORP 6.6% DUE 03-15-2046
 
 

 
518

ANADARKO PETE CORP 6.95% DUE 06-15-2019
 
 

 
335

ANHEUSER-BUSCH 4.7% DUE 02-01-2036
 
 

 
345

ANHEUSER-BUSCH 4.9% DUE 02-01-2046
 
 

 
1,407

AON PLC 4.75% DUE 05-15-2045
 
 

 
593

APPLE INC 3.85% DUE 08-04-2046
 
 

 
1,623

AT&T INC 3.6% DUE 02-17-2023
 
 

 
3,952

AT&T INC 4.3 DUE 12-15-2042
 
 

 
466

AT&T INC 4.5% DUE 03-09-2048
 
 

 
416

AT&T INC 5.15% DUE 03-15-2042
 
 

 
269

BAMLL COML MTG 2.959% DUE 12-10-2030*
 
 

 
1,076

BANK AMER CORP 3.248% DUE 10-21-2027*
 
 

 
1,350

BANK AMER CORP CORP BD 4.125 DUE 01-22-2024 REG*
 
 

 
2,423

BANK AMER CORP FIXED 3.824% DUE 01-20-2028*
 
 

 
1,174

BARCLAYS PLC 4.95% DUE 01-10-2047
 
 

 
785

BB&T CO GLOBAL BK 2.625% DUE 01-15-2022
 
 

 
2,280

BERKSHIRE HATHAWAY 1.3% DUE 08-15-2019
 
 

 
1,384

BK AMER N A TRANCHE # 2.05% 12-07-2018*
 
 

 
488

BP CAP MKTS P L C 3.245 DUE 05-06-2022
 
 

 
2,446

CALIFORNIA ST 7.3% 10-01-2039 BEO TAXABLE
 
 

 
1,348

CALIFORNIA ST TAXABLE-BUILD AMER BDS 7.35% DUE 11-01-2039 REG TAXABLE
 
 

 
212

CAP 1 MULTI-ASSET FLTG RT 1.36222% DUE 02-15-2022
 
 

 
2,659

CAP AUTO 1.36% DUE 04-22-2019
 
 

 
1,002

CAPITAL ONE NATL ASSN MCLEAN VA 1.65% DUE 02-05-2018 REG
 
 

 
2,302

CARMAX AUTO OWNER TRUST SER 16-4 CL A3 1.4% 08-15-2021
 
 

 
1,703

CDN NAT RES LTD 5.9% DUE 02-01-2018
 
 

 
619

CDN NAT RES LTD 6.25% DUE 03-15-2038
 
 

 
108

CHARTER 3.579% DUE 07-23-2020
 
 

 
1,620

CHARTER 6.384% DUE 10-23-2035
 
 

 
439

CHARTER 6.484% DUE 10-23-2045
 
 

 
386

CHASE ISSUANCE TR CHASESERIES 2016-3 NT CL A FLTG 06-15-2023 REG
 
 

 
2,655

CITIBANK CR CARD 1.74% DUE 01-19-2021
 
 

 
3,195

CITIGROUP INC 2.7% DUE 03-30-2021
 
 

 
2,105

CITIGROUP INC 3.2% DUE 10-21-2026
 
 

 
916

CITIGROUP INC 4.125% DUE 07-25-2028
 
 

 
1,310

CLEV CLINIC FNDTN 4.858% DUE 01-01-2114
 
 

 
392

CMO CITIGROUP COML MTG TR SER 2013-GC17 CL A-4 4.131 DUE 11-10-46
 
 

 
451


25

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
CMO COMM 2013-CCRE9 MTG TR COML MTG PASSTHRU CTF A-4 DUE 07-10-2045 REG
 
 

 
531

CMO COMM 2013-LC6 MTG TR COML PASSTHRU CL A-4 2.941 01-10-2046
 
 

 
563

CMO COMM MTG TR 2015-PC1 CL A-5 3.902% DUE 07-10-2050
 
 

 
28

CMO CR SUISSE 1ST BSTN MTG SECS CORP 2003-19 CL I-A-19 5.25 08-25-2033
 
 

 
1,030

CMO CR SUISSE FIRST BOSTON MTG SECS CORP2003-27 CL IV-A-4 5.75 11-25-2033
 
 

 
119

CMO CWMBS INC 2003-59 MTG PASSTHRU CTF 3-A-1 ALT LN TR 6% DUE 12-25-2033 REG
 
 

 
1,176

CMO GS MTG SECS TR 2015-GC30 CL A-4 3.382% DUE 05-10-2050
 
 

 
70

CMO J P MORGAN MTG TR 2005-A1 MTG PASSTHRU CTF CL 6-T-1 DUE 02-25-2035 REG
 
 

 
1,508

CMO MORGAN STANLEY BK AMER MERRILL LYNCH TR COML MTG P DUE 07-15-2046 REG
 
 

 
298

CMO MORGAN STANLEY BK AMER MERRILL LYNCHTR MTG 4.064 DUE 02-15-2047 REG
 
 

 
144

CMO MORGAN STANLEY BK AMER MERRILL LYNCHTR MTG PASS THRU CTF CL A 02-15-2048
 
 

 
557

CMO MORGAN STANLEY BK OF AMER MERRILL LYNCH COML MTG 4.259% DUE 10-15-2046 REG
 
 

 
421

CMO WELLS FARGO COML MTG TR 2016-C37 3.794% DUE 12-15-2049 REG
 
 

 
587

CMO WELLS FARGO MTG BACKED SECS 2004-EE TR SER 2004-EE CL-2A1 DUE 12-25-2034 REG
 
 

 
1,277

COMCAST CORP 3.0% 02-01-2024
 
 

 
994

COMCAST CORP 4.5 BDS DUE 01-15-2043 REG
 
 

 
597

COMM 2013-CCRE11 3.983% DUE 10-10-2046
 
 

 
799

COMM 2013-CCRE8 FLTG RT 3.612% DUE 06-10-2046
 
 

 
104

CONOCOPHILLIPS GTD NT 6.5 DUE 02-15-2039REG
 
 

 
788

CONS EDISON CO N Y 5.7% DUE 12-01-2036
 
 

 
710

CPS AUTO 1.21% DUE 08-15-2018
 
 

 
7

CPS AUTO 1.53% DUE 07-15-2019
 
 

 
17

CPS AUTO 1.65% DUE 11-15-2019
 
 

 
62

CR AGRICOLE S A 4.125% DUE 01-10-2027
 
 

 
2,077

CSAIL 2016-C7 COML 3.502% DUE 11-15-2049
 
 

 
505

CSX CORP 3.8% DUE 11-01-2046
 
 

 
1,005

CVS HEALTH CORP 5.125% DUE 07-20-2045
 
 

 
312

DELMARVA PWR & LT CO 4.15% DUE 05-15-2045
 
 

 
819

DIAMOND 1 FIN CORP 8.1% DUE 07-15-2036
 
 

 
379

DISCOVER CARD 1.39% DUE 03-15-2022
 
 

 
2,960

DOMINION GAS HLDGS 2.5% DUE 12-15-2019
 
 

 
647

DOMINION GAS HLDGS 4.6% DUE 12-15-2044
 
 

 
191

DOMINION RES INC VA NEW 2.962% SUB NT 2013 SER B STEP UP 07-01-2019 07-01-2018
 
 

 
1,491

DR AUTO 1.38% DUE 08-15-2018
 
 

 
652

DT AUTO OWNER TR 1.44% DUE 11-15-2019
 
 

 
1,995


26

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
EMBRAER NETH FIN B 5.4% DUE 02-01-2027
 
 

 
648

ENCANA CORP 6.5% DUE 02-01-2038
 
 

 
854

ENCANA CORP 6.5% DUE 05-15-2019
 
 

 
1,170

ENERGY TRANSFER PARTNERS L P ENERGY TRANSFER PARTNERS 6.625% DUE 10-15-2036
 
 

 
1,500

ENLINK MIDSTREAM 2.7% DUE 04-01-2019
 
 

 
1,264

ENLINK MIDSTREAM 5.6% DUE 04-01-2044
 
 

 
558

ENLINK MIDSTREAM PARTNERS LP 5.05% DUE 04-01-2045
 
 

 
324

EXELON CORP 1.55% DUE 06-09-2017
 
 

 
985

EXELON CORP 5.625% DUE 06-15-2035
 
 

 
339

EXETER AUTOMOBILE 1.6% DUE 06-17-2019
 
 

 
6

EXETER AUTOMOBILE 1.84% DUE 11-16-2020
 
 

 
2,220

EXETER AUTOMOBILE 2.35% DUE 07-15-2020
 
 

 
329

FEDERAL HOME LN MTG CORP POOL #C03537 4.5% 08-01-2040
 
 

 
2,078

FEDERAL HOME LN MTG CORP POOL #G05964 4.5% 08-01-2040
 
 

 
84

FEDERAL HOME LN MTG CORP POOL #G07649 4.5% 05-01-2042
 
 

 
1,839

FEDERAL HOME LN MTG CORP POOL #G60440 3.5% 03-01-2046
 
 

 
2,334

FEDERAL HOME LN MTG CORP POOL #G60822 4.5% 08-01-2043
 
 

 
1,332

FEDERAL HOME LN MTG CORP TRANCHE 00079 SR 4646 CL DA 3.5% 01-15-2042
 
 

 
1,367

FEDERAL NATL MTG ASSN GTD MTG POOL #AL0028 5% 02-01-2041
 
 

 
363

FEDERAL NATL MTG ASSN GTD MTG POOL #AL1544 5.5% 08-01-2037
 
 

 
501

FEDERAL NATL MTG ASSN GTD MTG POOL #AL3006 5% 07-01-2037
 
 

 
301

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5224 5% 02-01-2038
 
 

 
51

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5367 5% 07-01-2037
 
 

 
71

FEDERAL NATL MTG ASSN GTD MTG POOL #AL6964 5.5% 03-01-2041
 
 

 
137

FEDERAL NATL MTG ASSN GTD MTG POOL #AL7501 3.5% 10-01-2045
 
 

 
2,151

FEDERAL NATL MTG ASSN GTD MTG POOL #AL7991 3.5% 01-01-2046
 
 

 
679

FEDEX CORP 4.4% DUE 01-15-2047
 
 

 
845

FHLMC GOLD G67700 3.5 08-01-2046
 
 

 
1,849

FHLMC GOLD J10360 4 07-01-2024
 
 

 
180

FHLMC GOLD POOL Q45624 3.0% 01-01-2047
 
 

 
3,138

FHLMC GOLD Q02818 4.5% DUE 08-01-2041
 
 

 
424

FHLMC GOLD SINGLE FAMILY 3% 30 YEARS
 
 

 
7,739

FHLMC GOLD SINGLE FAMILY 3.5% 30 YEARS
 
 

 
7,456

FHLMC GOLD SINGLE FAMILY 4% 30 YEARS
 
 

 
3,997

FHLMC GOLD V82528 4 07-01-2046
 
 

 
3,205

FHLMC GOLD V82553 4 08-01-2046
 
 

 
1,976

FHLMC MTN 6.25 07-15-2032
 
 

 
1,069

FHLMC MULTICLASS SER 004281 CL LG 4 01-15-2043
 
 

 
807

FHLMC MULTICLASS SER 3954 CL HU 4 05-15-2029
 
 

 
150

FHLMC PREASSIGN 00074 2.375 01-13-2022
 
 

 
2,429

FLAGSHIP CR AUTO 1.21% DUE 04-15-2019
 
 

 
34

FLAGSHIP CR AUTO 1.43% DUE 12-16-2019
 
 

 
35

FLAGSHIP CR AUTO 1.47% DUE 03-16-2020
 
 

 
1,280

FLAGSHIP CR AUTO 1.61% DUE 12-15-2019
 
 

 
1,817


27

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
FLAGSHIP CR AUTO 1.63% DUE 06-15-2020
 
 

 
8

FLAGSHIP CR AUTO 2.28% DUE 05-15-2020
 
 

 
437

FLAGSHIP CR AUTO 2.38% DUE 10-15-2020
 
 

 
379

FNMA 2.625% 09-06-2024
 
 

 
1,303

FNMA POOL #190354 5.5% 12-01-2034
 
 

 
83

FNMA POOL #310104 5.5% 08-01-2037
 
 

 
933

FNMA POOL #310151 5.5% 11-01-2034
 
 

 
733

FNMA POOL #725027 5% 11-01-2033
 
 

 
103

FNMA POOL #725223 5.5% 03-01-2034
 
 

 
706

FNMA POOL #735212 5% 12-01-2034
 
 

 
174

FNMA POOL #889117 5% 10-01-2035
 
 

 
161

FNMA POOL #932639 5% 03-01-2040
 
 

 
99

FNMA POOL #AB3467 4.5% 02-01-2035
 
 

 
1,528

FNMA POOL #AB9243 3% 05-01-2043
 
 

 
1,014

FNMA POOL #AD3128 5% 04-01-2040
 
 

 
750

FNMA POOL #AD8527 4.5% 08-01-2040
 
 

 
757

FNMA POOL #AE0115 5.5% 12-01-2035
 
 

 
83

FNMA POOL #AE0201 5.5% 08-01-2037
 
 

 
559

FNMA POOL #AL8139 4% 02-01-2032
 
 

 
168

FNMA POOL #AS5190 3.5% 06-01-2045
 
 

 
2,705

FNMA POOL #AS5453 3.5% 07-01-2045
 
 

 
841

FNMA POOL #AS5640 3.5% 08-01-2045
 
 

 
1,922

FNMA POOL #AS6563 3.5% 01-01-2046
 
 

 
613

FNMA POOL #AS6752 3.5% 02-01-2046
 
 

 
2,346

FNMA POOL #AS6839 4% 03-01-2046
 
 

 
464

FNMA POOL #AS6840 4% 03-01-2046
 
 

 
2,880

FNMA POOL #AS7312 3.5% 06-01-2046
 
 

 
3,082

FNMA POOL #AS7383 3.5% 06-01-2046
 
 

 
280

FNMA POOL #AS7591 3.5% 07-01-2046
 
 

 
305

FNMA POOL #AS7598 4% 07-01-2046
 
 

 
3,181

FNMA POOL #AS8139 4% 10-01-2046
 
 

 
236

FNMA POOL #AS8623 3% 01-01-2047
 
 

 
1,649

FNMA POOL #AZ9239 3.5% 10-01-2045
 
 

 
611

FNMA POOL #BC0170 4% 01-01-2046
 
 

 
1,796

FNMA POOL #BC4414 3.5% 03-01-2046
 
 

 
645

FNMA POOL #BC6027 3.5% 05-01-2046
 
 

 
1,086

FNMA POOL #BD0444 3.5% 06-01-2046
 
 

 
1,831

FNMA POOL #BD3004 3% 08-01-2046
 
 

 
47

FNMA POOL #BD7967 3% 09-01-2046
 
 

 
140

FNMA POOL #BD8248 3% 09-01-2046
 
 

 
132

FNMA POOL #BD8291 3% 11-01-2046
 
 

 
372

FNMA POOL #MA0293 4.5% 01-01-2030
 
 

 
153

FNMA REMIC TR 2005-35 CL-DZ PRIN ONLY 5 04-25-2035
 
 

 
329

FNMA REMIC TR 2010-114 CL-BA 4 07-25-2039
 
 

 
188


28

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
FNMA SINGLE FAMILY MORTGAGE 2.5% 15 YEARS
 
 


 
8,620

FNMA SINGLE FAMILY MORTGAGE 3% 15 YEARS
 
 


 
7,407

FNMA SINGLE FAMILY MORTGAGE 3% 30 YEARS
 
 


 
26,731

FNMA SINGLE FAMILY MORTGAGE 3.5% 30 YEARS
 
 


 
8,313

FNMA SINGLE FAMILY MORTGAGE 4% 30 YEARS
 
 


 
5,067

FNMA SINGLE FAMILY MORTGAGE 4.5% 30 YEARS
 
 


 
8,983

FORD CR AUTO OWNER 1.22% DUE 03-15-2021
 
 


 
2,298

FORD CR AUTO OWNER FIXED 1.92% DUE 04-15-2022
 
 


 
3,955

FORD CR AUTO OWNER FLTG RT 2.03% DUE 12-15-2027
 
 


 
1,044

FORD CR FLOORPLAN 1.95% DUE 11-15-2021
 
 


 
848

FORD MTR CO DEL 5.291% DUE 12-08-2046
 
 


 
1,066

GE CAP INTL FDG CO 4.418% DUE 11-15-2035
 
 


 
1,349

GNMA II JUMBOS 3.5 30 YEARS
 
 


 
17,730

GNMA II JUMBOS 4% 30 YEARS
 
 


 
12,698

GOLDMAN SACHS 4.75% DUE 10-21-2045*
 
 


 
1,443

GOLDMAN SACHS GROUP INC SR NT 3.625 01-22-2023*
 
 


 
939

GS MTG SECS TR 3.135% DUE 06-10-2046
 
 


 
200

GS MTG SECS TR 4.271% DUE 11-10-2046
 
 


 
22

HONDA AUTO 1.21% DUE 12-18-2020
 
 


 
1,998

HSBC HLDGS PLC 4.375% DUE 11-23-2026
 
 


 
828

HUNGARY REP NT 6.375% DUE 03-29-2021 REG
 
 


 
2,105

IL ST TAXABLE-PENSION 5.1 DUE 06-01-2033BEO TAXABLE SINKING FD 06-01-2024 N/C
 
 


 
891

ITC HLDGS CORP 5.3% DUE 07-01-2043
 
 


 
943

JPMORGAN CHASE & 2.95% DUE 10-01-2026
 
 


 
1,108

JPMORGAN CHASE & 3.625% DUE 12-01-2027
 
 


 
1,591

JPMORGAN CHASE & CO 3.782% DUE 02-01-2028
 
 


 
713

JPMORGAN CHASE & FIXED 2.25% DUE 01-23-2020
 
 


 
2,148

KINDER MORGAN 4.15% DUE 02-01-2024
 
 


 
1,788

KINDER MORGAN INC 5.3% DUE 12-01-2034
 
 


 
867

KINDER MORGAN INC/DELAWA 3.05% DUE 12-01-2019
 
 


 
808

KRAFT HEINZ FOODS 2% DUE 07-02-2018
 
 


 
871

KRAFT HEINZ FOODS 4.375% DUE 06-01-2046
 
 


 
407

KRAFT HEINZ FOODS 5.2% DUE 07-15-2045
 
 


 
750

LLOYDS BKG GROUP 3.75% DUE 01-11-2027
 
 


 
1,287

LYONDELLBASELL 4.625% DUE 02-26-2055
 
 


 
646

MEDTRONIC INC 4.625% DUE 03-15-2045
 
 


 
619

MET LIFE GLOBAL 1.3% DUE 04-10-2017
 
 


 
2,997

MET LIFE GLOBAL 3.45% DUE 12-18-2026
 
 


 
2,280

MICROSOFT CORP FIXED 4.25% DUE 02-06-2047
 
 


 
2,138

MORGAN STANLEY 3.125% DUE 07-27-2026
 
 


 
903

MORGAN STANLEY BK 3.787% DUE 02-15-2047
 
 


 
280

MPLX LP 4.5% DUE 07-15-2023
 
 


 
2,158

NEW JERSEY ST TRANSN TR FD AUTH 5.754% 12-15-2028 BEO TAXABLE
 
 


 
1,481


29

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
NEW YORK & 4.763% DUE 08-01-2116
 
 


 
518

NEWELL BRANDS INC 5.5% DUE 04-01-2046
 
 


 
694

NEXTERA ENERGY CAP 2.056% DUE 09-01-2017
 
 


 
1,820

NEXTERA ENERGY CAP 2.7% DUE 09-15-2019
 
 


 
1,336

NOBLE ENERGY INC 8.25% DUE 03-01-2019
 
 


 
1,594

ORACLE CORP 3.85% DUE 07-15-2036
 
 


 
1,053

ORACLE CORP 4% DUE 07-15-2046
 
 


 
592

PETROLEOS 5.625% DUE 01-23-2046
 
 


 
502

PLAINS ALL AMERN 6.65% DUE 01-15-2037
 
 


 
1,029

PRESTIGE AUTO 2.88% DUE 11-15-2022
 
 


 
259

PROGRESS ENERGY 7.75% DUE 03-01-2031
 
 


 
2,889

PROGRESS ENERGY SR NT 7.05 DUE 03-15-2019
 
 


 
1,557

PVLPL CMO GS MORTGAGE SECURITI GSMS SER 2012-BWTR CL A 2.954 DUE 11-07-2034
 
 


 
607

PVTPL 1ST INVS AUTO OWNER TR 2016-2 AB NT CL A-1 144A 1.53 DUE 11-16-20
 
 


 
1,273

PVTPL BAYVIEW OPPORTUNITY MASTER FD IIIA TR 20 ABS CL A1 STEP UP 09-28-2031
 
 


 
478

PVTPL BAYVIEW OPPORTUNITY MASTER FD TR SER 16-RPL3 CL A1 144A 3.4748% 07-28-31
 
 


 
257

PVTPL BAYVIEW OPPORTUNITY MASTER FD TR SER 17-NPL1 CL A1 STEP UP 144A 01-28-32
 
 


 
810

PVTPL CARFINANCE CAP AUTO TR 2015-1 NT CL A 144A 1.75% DUE 06-15-2021
 
 


 
677

PVTPL CHRYSLER CAP AUTO RECEIVABLES TR 2016-B NT CL A-3 144A 1.64 07-15-2021
 
 


 
1,994

PVTPL CMO COMM MORTGAGE TRUST SER 2015 3BP CL A 3.178% DUE 02-10-2035
 
 


 
15

PVTPL CMO CPS AUTO RECEIVABLES TR 2016-B CL A 144A 2.07% 11-15-2019
 
 


 
1,090

PVTPL CMO CREDIT SUISSE MORTGAGE TRUST SER 2014-USA CL A2 3.953% DUE 09-15-2037
 
 


 
342

PVTPL CMO GS MTG SECS CORP TR 2012-SHOP COML MTG CTF CL A 144A 2.933 6/5/31
 
 


 
1,622

PVTPL CMO MORGAN STANLEY SER 2014-CPT CLA 144A 3.35 DUE07-13-2029
 
 


 
881

PVTPL CORPORACION NACIONAL DEL COBRE DE CHILE NT 3.875 DUE 11-03-2021
 
 


 
1,556

PVTPL CPS AUTO RECEIVABLES TR 2014-D CL A 1.49% DUE 04-15-2019
 
 


 
57

PVTPL CPS AUTO RECEIVABLES TR 2015-C NT CL A 144A 1.77% DUE 06-17-2019
 
 


 
694

PVTPL CPS AUTO RECEIVABLES TR 2016-C 1.62% DUE 01-15-2020
 
 


 
2,278

PVTPL CPS AUTO RECEIVABLES TR 2016-D 1.5% DUE 06-15-2020
 
 


 
2,062

PVTPL CVS LEASE BACKED PASS THRU SER 2013 TR 4.704 01-10-2036
 
 


 
950

PVTPL CVS LEASE BACKED PASS THRU SER 2014 TR PASSTHRU CTF 4.163 08-11-2036
 
 


 
311

PVTPL DIAMOND 1 FIN CORP/DIAMOND 2 BNDS 144A 8.35% DUE 07-15-2046
 
 


 
494

PVTPL DP WORLD LTD GLOBAL MEDIUM TERM NTS 144A 6.85 DUE 07-02-2037
 
 


 
342


30

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
PVTPL DRIVE AUTO RECEIVABLES TRUST SER 17-AA CL A2 1.48% 03-15-2019
 
 


 
4,116

PVTPL DT AUTO OWNER TR 2015-3 AST BACKEDNT CL A 144A 1.66 DUE 03-15-2019
 
 


 
278

PVTPL DT AUTO OWNER TR 2016-3 AST BACKEDNT CL A 144A 1.75 DUE 11-15-2019
 
 


 
1,019

PVTPL FIRST INVS AUTO OWNER TR 2013-3A CL A3 1.44 10-15-2019
 
 


 
12

PVTPL FIRSTENERGY TRANSMISSION LLC SR NT144A 5.45% DUE 07-15-2044/05-19-2014
 
 


 
874

PVTPL FORTIS INC NT 144A 2.1% DUE 10-04-2021/10-04-2016
 
 


 
638

PVTPL FORTIS INC NT 144A 3.055% DUE 10-04-2026/10-04-2016
 
 


 
1,761

PVTPL ING BK N V MEDIUM TERM NTS BOOK ENTRY 14 TRANCHE # TR 9 2.0% DUE 11-26-18
 
 


 
1,652

PVTPL JERSEY CENT PWR & LT CO SR NT 144A4.7% DUE 04-01-2024/08-21-2013
 
 


 
1,471

PVTPL LIBERTY MUT GROUP INC GTD SR NT 4.85 DUE 08-01-2044
 
 


 
377

PVTPL MONDELEZ INTL HLDGS NETH B V NT 144A 1.625 DUE 10-28-2019/10-28-2016
 
 


 
2,244

PVTPL MONDELEZ INTL HLDGS NETH B V NT 144A 2% DUE 10-28-2021/10-28-2016
 
 


 
1,919

PVTPL NYMT RESIDENTIAL 2016-RP1 LLC NT CL A 144A VAR RT DUE 03-25-2021
 
 


 
286

PVTPL PRICOA GLOBAL FUNDING I PRICOA GLOBAL FUNDING I 1.9% DUE 09-21-2018
 
 


 
905

PVTPL TORONTO DOMINION BK RT 1.95% DUE 04-02-2020
 
 


 
642

PVTPL U.S. RESIDENTIAL OPPORTUNITY FD III TR 2 ABS CL A 3.4747% 07-27-2036
 
 


 
343

PVTPL VERICREST OPPORTUNITTY LN TRANSFEREE ABS SER 2014-NPL10 CL A-110-25-2054
 
 


 
245

PVTPL VERICREST OPPORTUNITY LOAN TRANSFEREE SER 2015-NPL1 CL A1 DUE 10-25-2057
 
 


 
213

PVTPL VOLT SER 2014-NPL7 CL A-1 STEP UP 08-27-2057
 
 


 
109

PVTPL VOLT XLIX LLC SER 16-NPL9 CL A1 144A STEP 09-25-2046
 
 


 
1,218

PVTPL VOLT XLV LLC ASSET BACKED NT CL A-1 144A VAR RT DUE 05-25-2046
 
 


 
713

PVTPL VOLT XLVIII LLC ASSET BACKED NT 2016-NPL8 CL A-1 VAR RT STEP UP 07-25-2046
 
 


 
380

PVTPL VOLT XXII LLC SER 2015-NPL4 CL A-1 VARDUE 02-25-2055
 
 


 
257

PVTPL VOLT XXVI LLC SER 2014-NPL6 CL A-1 FLTG RT 09-25-2043
 
 


 
1,266

PVTPL VOLT XXXI LLC ASSET BACKED NT SER 2015-NPL2 CL A-1 DUE 02-25-2055
 
 


 
576

PVTPL VOLT XXXII LLC SER 2015-NPL3 CL A1144A 3.375% DUE 10-25-2058
 
 


 
85

PVTPL VOLT XXXVI LLC SER 15-NP10 CL A1 STEP-UP DUE 07-25-2045
 
 


 
81

PVTPL VOLT XXXVIII LLC STEP UP DUE 09-25-2045
 
 


 
324

QATAR ST BD 144A 2.375% DUE 06-02-2021
 
 


 
1,483

RAIZEN FUELS FIN S 5.3% DUE 01-20-2027
 
 


 
971

REYNOLDS AMERN INC FIXED 2.3% DUE 06-12-2018
 
 


 
2,723

ROYAL BANK OF CANADA 2.75% SNR MTN 02-01-2022 USD 'G'
 
 


 
2,346

ROYAL BK CDA 1.5% DUE 07-29-2019
 
 


 
1,491

SANTANDER DR AUTO 1.82% DUE 05-15-2019
 
 


 
72


31

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
SANTANDER DR AUTO 1.83% DUE 01-15-2020
 
 


 
1,315

SANTANDER DR AUTO 2.46% DUE 03-15-2022
 
 


 
1,287

SANTANDER DRIVE AUTO RECEIVABLES TR SER 15-5 CL A2B 11-15-2018
 
 


 
48

SAUDI ARABIA KINGDOM TRANCHE # TR 1 2.375% DUE 10-26-2021 REG
 
 


 
1,381

SAUDI ARABIA KINGDOM TRANCHE # TR 3 4.5%DUE 10-26-2046 REG
 
 


 
347

SEMPRA ENERGY 9.8% DUE 02-15-2019
 
 


 
3,795

SHIRE ACQUISITIONS 2.875% DUE 09-23-2023
 
 


 
1,025

SOUTHERN CO 2.35% DUE 07-01-2021
 
 


 
1,108

SOUTHERN CO 4.4% DUE 07-01-2046
 
 


 
766

STRUCTURED ADJ FLTG RT 3.309944% DUE 09-25-2034
 
 


 
439

SUNCOR ENERGY INC 6.1% DUE 06-01-2018
 
 


 
1,172

TENNESSEE VY AUTH GLOBAL PWR BD 2012 SERB 3.5% DUE 12-15-2042 REG
 
 


 
849

TENNESSEE VY AUTH GLOBAL PWR BD SER A 4.25% DUE 09-15-2065 REG
 
 


 
982

TIME WARNER CABLE 7.3% DUE 07-01-2038
 
 


 
338

TOYOTA AUTO 1.23% DUE 10-15-2020
 
 


 
5,114

TOYOTA MTR CR CORP 1.55% DUE 10-18-2019
 
 


 
3,172

TRANSCANADA 1.625% DUE 11-09-2017
 
 


 
843

TTX CO MEDIUM TERM NTS BOOK ENTRY 144A TRANCHE # TR 00059 2.25% DUE 02-01-2019
 
 


 
1,361

UBS AG STAMFORD 1.375% DUE 06-01-2017
 
 


 
1,766

UNITED STATES OF AMER TREAS BONDS DTD 05/15/2016 2.5% DUE 05-15-2046 REG
 
 


 
2,805

UNITED STATES TREAS BDS 2.25% DUE 08-15-2046
 
 


 
1,527

UNITED STATES TREAS BDS 00202 4.75% DUE 02-15-2037 REG
 
 


 
11,330

UNITED STATES TREAS BDS 00245 2.875% DUE 08-15-2045 REG
 
 


 
8,421

UNITED STATES TREAS BDS 3% DUE 05-15-2045
 
 


 
4,105

UNITED STATES TREAS BDS DTD 00246 3% DUE11-15-2045 REG
 
 


 
2,287

UNITED STATES TREAS BDS DTD 00247 2.5% DUE 02-15-2046 REG
 
 


 
193

UNITED STATES TREAS NTS 1% DUE 12-31-2017 REG
 
 


 
5,052

UNITED STATES TREAS NTS 1.5% BDS 15/08/26 USD1000 1.5% DUE 08-15-2026 REG
 
 


 
6,641

UNITED STATES TREAS NTS 1.625% DUE 07-31-2020 REG
 
 


 
4,797

UNITED STATES TREAS NTS 1.625% DUE 11-30-2020 REG
 
 


 
3,508

UNITED STATES TREAS NTS 1.625% DUE 05-15-2026
 
 


 
7,839

UNITED STATES TREAS NTS DTD 02/29/2016 1.5% DUE 02-28-2023 REG
 
 


 
1,165

UNITED STATES TREAS NTS DTD 03/31/2016 1.25% DUE 03-31-2021 REG
 
 


 
10,224

UNITED STATES TREAS NTS DTD 04/30/2015 1.375% DUE 04-30-2020 REG
 
 


 
150

UNITED STATES TREAS NTS DTD 04/30/2016 .75% DUE 04-30-2018 REG
 
 


 
2,571

UNITED STATES TREAS NTS DTD 04/30/2016 1.625% DUE 04-30-2023 REG
 
 


 
562

UNITED STATES TREAS NTS DTD 07/31/2016 1.125% DUE 07-31-2021 REG
 
 


 
2,490


32

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
UNITED STATES TREAS NTS DTD 10/31/2015 1.375% DUE 10-31-2020 REG
 
 


 
20,176

UNITED STATES TREAS NTS DTD 12/15/2015 1.25% DUE 12-15-2018 REG
 
 


 
107

UNITED STATES TREAS NTS DTD 12/31/2015 1.75% DUE 12-31-2020 REG
 
 


 
257

UNITED STATES TREAS NTS FIXED 1.375% DUE 09-30-2020
 
 


 
19,312

UNITED STATES TREAS NTS TREASURY NOTE 2.25% DUE 12-31-2023 REG
 
 


 
1,406

UNITED STATES TREAS NTS TREASURY NOTE 1%DUE 10-15-2019 REG
 
 


 
1,065

UNITED STATES TREAS NTS TREASURY NOTE 2%DUE 12-31-2021 REG
 
 


 
2,882

UNITED STATES TREAS NTS US TREASURY N/B 1.75 11-30-2021 1.75 DUE 11-30-2021 REG
 
 


 
6,185

UNITED STATES TREAS NTS WI TREASURY NOTE.75% DUE 10-31-2018 REG
 
 


 
9,627

UNITED STATES TREAS NTS WI TREASURY NOTE1% DUE 11-30-2018 REG
 
 


 
4,877

UNITED STATES TREAS NTS WI TREASURY NOTE2% DUE 11-15-2026 REG
 
 


 
6,122

UNITED STATES TREASURY 1.25% DUE 10-31-2021 REG
 
 


 
22,370

UNIVERSITY CALIF REVS 4.767% 05-15-2115 BEO TAXABLE
 
 


 
642

UTD AUTO CR 1.67% DUE 09-10-2018
 
 


 
1,805

UTD STATES TREAS 1.125% DUE 08-31-2021
 
 


 
1,601

UTD STATES TREAS 1.125% DUE 09-30-2021
 
 


 
14,683

UTD STATES TREAS 1.375% DUE 04-30-2021
 
 


 
809

UTD STATES TREAS 1.5% DUE 03-31-2023
 
 


 
2,728

UTD TECHNOLOGIES STEP CPN 1.778% DUE 05-04-2018
 
 


 
4,123

VA ELEC & PWR CO 4% DUE 11-15-2046
 
 


 
609

VALE OVERSEAS LTD 6.875% DUE 11-21-2036
 
 


 
947

VERICREST OPPORTUNITY LOAN TRANSFEREE SERIES 2015-NPL7 CLS A1 02-25-55
 
 


 
266

VERIZON 4.272% DUE 01-15-2036
 
 


 
1,700

VERIZON COMMUNICATIONS 5.15 BDS DUE 09-15-2023 USD2000 REG
 
 


 
2,181

VIACOM INC NEW 3.45% DUE 10-04-2026
 
 


 
511

WELLS FARGO & CO 4.75% DUE 12-07-2046
 
 


 
422

WELLS FARGO & CO 4.9% DUE 11-17-2045
 
 


 
563

WELLS FARGO COML 3.617% DUE 09-15-2057
 
 


 
110

WELLS FARGO COML 3.64% DUE 12-15-2059
 
 


 
503

WELLS FARGO COML 3.789% DUE 12-15-2047
 
 


 
439

WESLEYAN UNIV CONN 4.781% DUE 07-01-2116
 
 


 
635

WESTLAKE CHEM CORP 5% DUE 08-15-2046
 
 


 
571

WESTPAC BKG CORP 2% DUE 08-19-2021
 
 


 
3,121

WFRBS COML MTG TR 3.073% DUE 06-15-2046
 
 


 
492

WFRBS COML MTG TR 3.337% DUE 06-15-2046
 
 


 
53

WI ENERGY CORP FIXED 1.65% DUE 06-15-2018
 
 


 
1,223

WILLIAMS PARTNERS 6.3% DUE 04-15-2040
 
 


 
1,043

XCEL ENERGY INC 1.2% DUE 06-01-2017
 
 


 
1,342

XCEL ENERGY INC 2.6% DUE 03-15-2022
 
 


 
914

TOTAL BONDS
 
 


 
640,418


33

Table of Contents

(Amounts in thousands, except share information)
 
 
 
 
 
Security Name
 
 
Shares held at January 31, 2017
 
 Investments at Fair Value
COMMON/COLLECTIVE TRUSTS
 
 


 


NTGI COLL DLY GOVT STIF*
 
 


 
277

AEW GLOBAL PROPERTIES TRUST FUND DC FUND CLASS A
 
 


 
298,808

AQR EMERGING EQUITIES FUND CLASS B
 
 


 
185,804

BLACKROCK GOVERNMENT MONEY MARKET
 
 


 
377,865

BLACKROCK MSCI ACWI EX US IMI INDEX NL UND CL F
 
 


 
1,597,475

BLACKROCK RUSSELL 1000 DEFENSIVE INDEX NL FUND F
 
 


 
151,320

BLACKROCK RUSSELL 1000 INDEX NL F FUND
 
 


 
6,039,920

BLACKROCK RUSSELL 2000 INDEX NL
 
 


 
258,647

BLACKROCK RUSSELL 2500 INDEX NL FUND F
 
 


 
60,646

BLACKROCK US DEBT INDEX NON LENDABLEFUND F
 
 


 
939,551

BLACKROCK US TIPS NL F (667825)
 
 


 
187,334

COHEN & STEERS GLOBAL LISTED INFRASTRUCTURE FUND
 
 


 
68,442

CORECOMMODITY MANAGEMENT DIVERSIFIED I CIT FUND
 
 


 
217,815

DRZ SMALL CAP VALUE COLLECTIVE FUNDRZ SMALL CAP VALUE COLTV FD
 
 


 
144,062

FIERA ASSET MANAGEMENT USA INTERNATIONAL EQUITY COLLECTIVE TRUST CLASS 1
 
 


 
551,271

FIRST STE INV GL LISTED INF FD TIER IV 66585Y604*
 
 


 
136,864

GOLDMAN SACHS COLLECTIVE TRUST CORE PLUS FIXED INCOME FUND S SERIES 2470*
 
 


 
604,410

GRESHAM DJF COLLECTIVE INVESTMENT FUND
 
 


 
146,260

HARDING LOEVNER EMERGING MARKETS COLLECTIVE FUND FD 315
 
 


 
184,679

INVESCO GLOBAL REAL ESTATE SECURITIES TRUST GRE
 
 


 
450,877

JPMCB SHORT DURATION BOND FUND
 
 


 
598,864

MONARCH SMALL MID CAP VALUE FUND CLA MPSMWSS W
 
 


 
311,748

MONDRIAN GROUP TR WAL-MART FOCUSED INTL EQUITY FD
 
 


 
357,609

NORTHN TR CO SUB-ADVISED COLTV FD COLTV LSV INTL ACWI EX US 138*
 
 


 
725,662

NUVEEN GLOBAL INFRASTRUCTURE FUND CLASS J
 
 


 
138,332

PGI CIT GLOBAL PROPERTY
 
 


 
449,412

PRESIMA GLOBAL REAL ESTATE CONCENTRATED*
 
 


 
297,850

PRUDENTIAL CORE PLUS TRUST CL NONE PM8 - 32439
 
 


 
606,002

ROBECO CT BOSTON PARTNERS LARGE CAP VALUE F 77029W807
 
 


 
250,490

ROBECO CT WPG PARTNERS SMALL CAP VAL 77029W872UE
 
 


 
143,336

WELLINGTON CIF II COMMODITIES 3448
 
 


 
370,842

TOTAL COMMON COLLECTIVE TRUSTS
 
 


 
16,852,474

TOTAL INVESTMENTS
 
 


 
$
23,244,308

 
 
 
 
 
 
CASH AND CASH EQUIVALENTS
 
 
 
 
$
16,650

 
 
 
 
 
 
NOTES RECEIVABLE FROM PARTICIPANTS
Rate of Interest
 
Maturity
 
Fair Value
Various (144,513 notes receivable)
4.25-4.75%
 
1 Month - 15 Years

 
$
952,901

* Party-in-interest

34

Table of Contents

SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
Walmart 401(k) Plan
Date: July 14, 2017
By:
 
/s/ Jacquelin L. Telfair
 
 
 
Jacquelin L. Telfair

 
 
 
Senior Vice President, Global Total Rewards & Performance, Wal-Mart Stores, Inc. and Administrator of the Walmart 401(k) Plan
 
 
 
Wal-Mart Stores, Inc.


35