A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
1 | ||||||||
Financial Statements |
||||||||
2 | ||||||||
3 | ||||||||
4 | ||||||||
Supplemental Schedules |
||||||||
24 | ||||||||
25 | ||||||||
26 | ||||||||
EX-23.1 |
1
December 31, | ||||||||
2009 | 2008 | |||||||
(In Thousands) | ||||||||
Investments at fair value: |
||||||||
Commingled trust funds |
$ | 890,449 | $ | 798,086 | ||||
Time Warner common stock |
290,995 | 237,118 | ||||||
Other common stocks |
526,119 | 440,997 | ||||||
Preferred stocks |
226 | 25 | ||||||
Synthetic investment contracts |
595,667 | 594,957 | ||||||
Mutual funds |
602,510 | 556,597 | ||||||
U.S. government and agency securities |
116,360 | 123,687 | ||||||
Other fixed income securities |
109,802 | 90,362 | ||||||
Loans to participants |
56,805 | 64,013 | ||||||
Cash, cash equivalents and other investments |
45,451 | 136,470 | ||||||
Total investments, at fair value |
3,234,384 | 3,042,312 | ||||||
Contributions receivable: |
||||||||
Employer |
1,950 | 2,373 | ||||||
Participants |
8 | 3,533 | ||||||
Other assets |
15,362 | 12,998 | ||||||
Total assets |
3,251,704 | 3,061,216 | ||||||
Total liabilities |
40,221 | 74,312 | ||||||
Net assets available for benefits, at fair value |
3,211,483 | 2,986,904 | ||||||
Adjustment from fair value to contract value for fully
benefit-responsive investment contracts |
(7,657 | ) | 8,749 | |||||
Net assets available for benefits |
$ | 3,203,826 | $ | 2,995,653 | ||||
2
Year Ended December 31, | ||||||||
2009 | 2008 | |||||||
(In Thousands) | ||||||||
Net assets available for benefits at beginning of year |
$ | 2,995,653 | $ | 4,352,232 | ||||
Changes in net assets: |
||||||||
Net investment loss from Time Warner Defined Contribution
Plans Master Trust |
| (1,269,476 | ) | |||||
Investment income, net of fees |
112,484 | 16,475 | ||||||
Net realized and unrealized appreciation (depreciation) in
the fair value of investments |
564,387 | (77,016 | ) | |||||
Employing company contributions |
102,004 | 95,536 | ||||||
Participant contributions, including rollover contributions |
194,646 | 215,331 | ||||||
Participant loan interest income |
4,077 | 5,098 | ||||||
Participant withdrawals |
(292,106 | ) | (405,460 | ) | ||||
Administrative expenses |
(5,579 | ) | (5,922 | ) | ||||
Net asset transfers to the AOL Savings Plan |
(471,740 | ) | | |||||
Other income |
| 68,855 | ||||||
Net change |
208,173 | (1,356,579 | ) | |||||
Net assets available for benefits at end of year |
$ | 3,203,826 | $ | 2,995,653 | ||||
3
4
5
6
Prior to March 1, 2007 | Effective March 1, 2007 | |||||||||
Years or Periods of | Vested | Years or Periods of | Vested | |||||||
Service | Percentage | Service | Percentage | |||||||
Less than 2 years
|
0 | % | Less than 1 year | 0 | % | |||||
2 but less than 3 years
|
25 | 1 but less than 2 years | 20 | |||||||
3 but less than 4 years
|
50 | 2 but less than 3 years | 40 | |||||||
4 but less than 5 years
|
75 | 3 but less than 4 years | 60 | |||||||
5 years or more
|
100 | 4 but less than 5 years | 80 | |||||||
5 years or more | 100 |
7
8
9
10
11
Year Ended | Two Months | |||||||
December 31, | Ended December 31, | |||||||
2009 | 2008 | |||||||
(In Thousands) | ||||||||
Investment income, net of fees |
$ | 112,484 | $ | 16,475 | ||||
Net realized and unrealized appreciation (depreciation)
in fair value of investments: |
||||||||
Commingled trust funds |
236,031 | (15,346 | ) | |||||
Time Warner common stock |
9,465 | 2,970 | ||||||
Other common stocks |
145,375 | (53,030 | ) | |||||
Preferred stocks |
1,371 | (575 | ) | |||||
Mutual funds |
152,421 | (19,020 | ) | |||||
U.S. government and agency securities |
6,344 | 9,297 | ||||||
Other fixed income securities |
12,085 | (3,155 | ) | |||||
Cash, cash equivalents and other investments |
1,295 | 1,843 | ||||||
Total net realized and unrealized appreciation (depreciation)
in the fair value of investments |
564,387 | (77,016 | ) | |||||
Total net investment gain (loss) |
$ | 676,871 | $ | (60,541 | ) | |||
12
Investment income, net of fees |
$ | 68,979 | ||
Net realized and unrealized depreciation in the fair value
of investments: |
||||
Commingled trust funds |
(436,451 | ) | ||
Time Warner common stock |
(216,071 | ) | ||
Other common stocks |
(438,884 | ) | ||
Preferred stocks |
(1,553 | ) | ||
Mutual funds |
(562,499 | ) | ||
U.S. government and agency securities |
(17,320 | ) | ||
Other fixed income securities |
(26,113 | ) | ||
Cash, cash equivalents and other investments |
4,179 | |||
Total net realized and unrealized depreciation in the fair
value of investments |
(1,694,712 | ) | ||
Total net investment loss |
$ | (1,625,733 | ) | |
December 31, | ||||||||
2009 | 2008 | |||||||
(In Thousands) | ||||||||
Commingled Trust Fund: |
||||||||
BlackRock Equity IndexFund H, 6,959,090 and
8,103,090 units, respectively |
$ | 257,904 | $ | 236,853 | ||||
Common Stock: |
||||||||
Time Warner, 9,986,087 and 7,856,805 shares,
respectively |
290,995 | 237,118 | ||||||
Mutual Fund: |
||||||||
Dodge & Cox Stock Fund, 4,335,699 and
6,119,080 shares, respectively |
416,834 | 376,974 |
13
| Complete or partial termination of the Plan; | ||
| Any change in law, regulation or administrative ruling applicable to the Plan that could have a material adverse effect on the funds cash flow; | ||
| Merger or consolidation of the Plan with another plan, the transfer of Plan assets to another plan, or the sale, spin-off or merger of a subsid- iary or division of the Plan sponsor; and | ||
| Any early retirement program, group termination, group layoff, facility closing or similar program. |
14
December 31, | ||||||||
2009 | 2008 | |||||||
Crediting rate (a) |
2.5 | % | 3.9 | % | ||||
Average annualized yield for the year |
2.9 | 4.6 |
(a) | Interest income in the Capital Preservation Fund is accrued at the weighted-average return of individual fund investments, net of investment management and certain administrative fees (the Crediting Rate). The Crediting Rate is calculated daily. Wrapper contracts use the Crediting Rate formula to convert market value changes in the underlying assets into income distributions in order to minimize the difference between the market and contract value of the underlying assets over time. Using the Crediting Rate formula, an estimated future market value is calculated by compounding a portfolios current market value at such portfolios current yield to maturity for a period equal to such portfolio duration. The Crediting Rate is the discount rate that equates that estimated future market value with such portfolios current contract value. Effective August 2009, Crediting Rates are reset monthly; prior to August 2009 Crediting Rates were reset quarterly. The Wrapper contracts provide a guarantee that the Crediting Rate will not fall below 0%. |
15
Fair Value Measurements as of December 31, 2009 | ||||||||||||||||
Quoted Market | ||||||||||||||||
Prices in Active | ||||||||||||||||
Fair Value | Markets for | Significant Other | Significant | |||||||||||||
as of | Identical Assets | Observable Inputs | Unobservable Inputs | |||||||||||||
Asset Category | December 31, 2009 | (Level 1) | (Level 2) | (Level 3) | ||||||||||||
Commingled trust funds (a) |
$ | 890,449 | $ | | $ | 890,449 | $ | | ||||||||
Equity securities: |
||||||||||||||||
Time Warner common stock |
290,995 | 290,995 | | | ||||||||||||
Other common stocks: |
||||||||||||||||
Domestic equities (b) |
502,952 | 502,952 | | | ||||||||||||
International equities |
23,167 | 23,167 | | | ||||||||||||
Preferred stocks |
226 | 226 | | | ||||||||||||
Synthetic investment contracts: |
||||||||||||||||
U.S. government and agency securities |
326,759 | 190,850 | 135,909 | | ||||||||||||
Mortgage related obligations |
104,993 | | 104,993 | | ||||||||||||
Other bonds, notes and debentures |
158,173 | | 158,173 | | ||||||||||||
Cash, cash equivalents and other investments |
5,742 | (1,846 | ) | 7,588 | | |||||||||||
Mutual funds (c) |
602,510 | 602,510 | | | ||||||||||||
Fixed income securities: |
||||||||||||||||
U.S. government and agency securities |
116,360 | 45,911 | 68,577 | 1,872 | ||||||||||||
Mortgage related obligations |
33,961 | | 33,961 | | ||||||||||||
Other bonds, notes and debentures (d) |
75,841 | | 75,841 | | ||||||||||||
Loans to participants |
56,805 | | | 56,805 | ||||||||||||
Cash, cash equivalents and other investments
(e) |
45,451 | 3,549 | 41,902 | | ||||||||||||
Total investments |
$ | 3,234,384 | $ | 1,658,314 | $ | 1,517,393 | $ | 58,677 | ||||||||
16
(a) | The underlying securities held in commingled trust funds generally consist of marketable equity and fixed income securities. | |
(b) | Domestic equities primarily include common stocks issued in U.S. markets. | |
(c) | Mutual funds include $416,834 in the Dodge & Cox Stock Fund and $185,676 in the Fidelity BrokerageLink. | |
(d) | Other bonds, notes and debentures primarily consists of investments in U.S. corporate bonds. | |
(e) | Includes cash and cash equivalents of $42,297 and derivative contracts of $3,154. |
Fair Value Measurements as of December 31, 2008 | ||||||||||||||||
Quoted Market | ||||||||||||||||
Prices in Active | ||||||||||||||||
Fair Value | Markets for | Significant Other | Significant | |||||||||||||
as of | Identical Assets | Observable Inputs | Unobservable Inputs | |||||||||||||
Asset Category | December 31, 2008 | (Level 1) | (Level 2) | (Level 3) | ||||||||||||
Commingled trust funds |
$ | 798,086 | $ | | $ | 798,086 | $ | | ||||||||
Time Warner common stock |
237,118 | 237,118 | | | ||||||||||||
Other common stocks |
440,997 | 440,997 | | | ||||||||||||
Preferred stocks |
25 | 25 | | | ||||||||||||
Synthetic investment contracts |
594,957 | 280,893 | 314,064 | | ||||||||||||
Mutual funds (a) |
556,597 | 556,597 | | | ||||||||||||
U.S. government and agency securities |
123,687 | 15,287 | 108,400 | | ||||||||||||
Other fixed income securities |
90,362 | | 90,362 | | ||||||||||||
Loans to participants |
64,013 | | | 64,013 | ||||||||||||
Cash, cash equivalents and other
investments |
136,470 | 49,876 | 86,594 | | ||||||||||||
Total investments |
$ | 3,042,312 | $ | 1,580,793 | $ | 1,397,506 | $ | 64,013 | ||||||||
(a) | Fidelity BrokerageLink in the amount of $179,623 has been moved from Level 2 to Level 1 to conform to the current year presentation. |
17
U.S. Government | ||||||||
Participant | and Agency | |||||||
Loans | Securities | |||||||
Balance as of January 1, 2009 |
$ | 64,013 | $ | | ||||
Actual return on plan assets: |
||||||||
Relating to assets still held at December 31, 2009 |
| | ||||||
Relating to assets sold during the period |
| | ||||||
Purchases, sales, issuances and settlements |
(7,208 | ) | 1,872 | |||||
Transfers in and/or out of Level 3 |
| | ||||||
Balance as of December 31, 2009 |
$ | 56,805 | $ | 1,872 | ||||
18
19
20
21
December 31, | ||||||||
2009 | 2008 | |||||||
| | | | |||||||
Net assets available for benefits per the
financial statements |
$ | 3,203,825,895 | $ | 2,995,652,680 | ||||
Adjustment from contract value to fair value for
fully benefit-responsive investment contracts |
7,657,113 | (8,748,807 | ) | |||||
Net assets per the Form 5500 |
$ | 3,211,483,008 | $ | 2,986,903,873 | ||||
22
Year Ended | ||||
December 31, | ||||
2009 | ||||
Net investment gain from the Plan per the financial statements |
$ | 676,870,785 | ||
Reversal of prior year adjustment from contract value to fair value
for fully benefit-responsive investment contracts |
8,748,807 | |||
Adjustment from contract value to fair value for fully
benefit-responsive investment contracts |
7,657,113 | |||
Net investment gain from the Plan per the Form 5500 |
$ | 693,276,705 | ||
23
Amount Received | ||||||||||||||||||||||||||||
During Reporting | Amount Overdue | |||||||||||||||||||||||||||
(a) | (b) | (c) | (d) | (e) | (f) | (g) | (h) | (i) | ||||||||||||||||||||
Detailed Description of Loan Including | ||||||||||||||||||||||||||||
Dates of Making and Maturity, Interest | ||||||||||||||||||||||||||||
Rate, the Type and Value of Collateral, | ||||||||||||||||||||||||||||
any Renegotiation of The Loan and the | Original | Unpaid | ||||||||||||||||||||||||||
Party-In- | Identity and Address of | Terms of the Renegotiation and Other | Amount of | Balance at | ||||||||||||||||||||||||
Interest | Obligor | Material Items | Loan | Principal | Interest | End of Year | Principal | Interest | ||||||||||||||||||||
Glitnir Bank | GLITNIR 3ML+273.25 6/16 144A | $ | 410,814 | $ | | $ | | $ | 41 | $ | 41 | $ | | |||||||||||||||
Glitnir Bank | GLITNIR BK MTN 6.33% 7/11 144A | 279,000 | | | 58,590 | 58,590 | | |||||||||||||||||||||
General Motors | GM 8.25% 7/15/23 | 1,166,760 | | 68,970 | 443,080 | 443,080 | | |||||||||||||||||||||
General Motors | GM GLBL 8.375 7/15/33 DT | 15,330 | | 879 | 5,670 | 5,670 | | |||||||||||||||||||||
Inn of the Mountain | ||||||||||||||||||||||||||||
Gods
Resort and Casino |
INN OF MOUNT 12% 11/15/10 | 22,523 | | | 8,689 | 8,689 | | |||||||||||||||||||||
Kaupthing Bank | KAUPTHING BK 5.75% 10/4/11 144A | 119,342 | | | 29,700 | 29,700 | | |||||||||||||||||||||
Kaupthing Bank | KAUPTHING BK 7.625% 2/28/15 | 985,690 | | | 291,308 | 291,308 | | |||||||||||||||||||||
Kaupthing Bank | KAUPTHING MTN 7.125% 5/19 144A | 129,314 | | | 13 | 13 | | |||||||||||||||||||||
Landsbankinn | LANDSBANKI IS MTN 6.1% 8/25/11 | 640,833 | | | 28,845 | 28,845 | | |||||||||||||||||||||
Lehman Brothers | LEH 5.857% PERP-12 | 357,218 | | | 111 | 111 | | |||||||||||||||||||||
Lehman Brothers | LEHMAN BR MTN 5.25% 2/6/12 | 180,808 | | | 35,295 | 35,295 | | |||||||||||||||||||||
Lehman Brothers | LEHMAN BROS 3ML+78 8/19/65 | 134,200 | | | 66 | 66 | | |||||||||||||||||||||
Lehman Brothers | LEHMAN BROS HLD 6.75% 12/28/17 | 389,711 | | | 117 | 117 | | |||||||||||||||||||||
Station Casinos Inc. | STATION CASINOS 6% 4/01/12 | 63,158 | | | 9,529 | 9,529 | | |||||||||||||||||||||
Station Casinos Inc. | STATION CASINOS INC 7.75% 8/16 | 86,861 | | | 13,125 | 13,125 | |
24
Participant Contributions | Total That Constitute Nonexempt Prohibited | |||||||||||||||
Transferred Late to the Plan | Transactions | |||||||||||||||
Total Fully | ||||||||||||||||
Contributions | Corrected | |||||||||||||||
Check Here if Late Participant | Contributions | Pending | Under VFCP | |||||||||||||
Loan Repayments are included: | Contributions | Corrected | Correction in | and PTE | ||||||||||||
þ | Not Corrected | Outside VFCP | VFCP | 2002-51 | ||||||||||||
$ | | $ | 39,686 | $ | | N/A |
25
Shares or | ||||||
Units | Description | Current Value | ||||
Commingled Trust Funds | ||||||
14,035,432 |
AllianceBernstein International Style Blend Collective Trust | $ | 137,687,589 | |||
11,077,052 |
BlackRock EAFE Equity Index - Fund T | 146,198,106 | ||||
6,959,090 |
BlackRock Equity Index - Fund H | 257,903,880 | ||||
2,738,513 |
BlackRock Extended Equity - Market Fund K | 96,669,518 | ||||
8,268,212 |
BlackRock US Debt Index - Fund T | 126,090,228 | ||||
9,858,985 |
Wellington Trust Company Collective Investment Fund II Growth (Series 2) | 125,899,245 | ||||
Total Commingled Trust Funds | 890,448,566 | |||||
9,986,087 |
Time Warner Common Stock* | 290,994,575 | ||||
Other Common Stocks | ||||||
4,367 |
3M CO | 361,020 | ||||
40,400 |
7 DAYS GROUP HLDGS LTD-AD | 504,192 | ||||
46,500 |
AAR CORP | 1,068,570 | ||||
133,772 |
ACI WORLDWIDE INC | 2,294,190 | ||||
27,100 |
ACTUANT CORP CL A | 502,163 | ||||
302,452 |
ADOBE SYSTEMS INC | 11,124,185 | ||||
67,086 |
AECOM TECHNOLOGY CORP | 1,844,865 | ||||
38,500 |
AEGEAN MARINE PETROLEUM N | 1,057,980 | ||||
281,900 |
AES CORP | 3,752,089 | ||||
48,650 |
AETNA INC | 1,542,205 | ||||
14,281 |
AFFILIATED MANAGERS GRP | 961,825 | ||||
36,600 |
AFLAC INC | 1,692,750 | ||||
17,100 |
ALBEMARLE CORP | 621,927 | ||||
36,227 |
ALLEGHENY TECH INC | 1,621,883 | ||||
9,500 |
ALLEGIANT TRAVEL CO | 448,115 | ||||
19,750 |
ALLSTATE CORPORATION | 593,290 | ||||
11,700 |
AMAG PHARMACEUTICALS INC | 444,951 | ||||
44,049 |
AMAZON.COM INC | 5,925,471 | ||||
16,500 |
AMERICAN EXPRESS CO | 668,580 | ||||
19,400 |
AMGEN INC | 1,097,458 | ||||
157,701 |
ANHEUSER BUSCH INBEV NV | 8,216,995 | ||||
38,329 |
ANSYS INC | 1,665,778 | ||||
6,100 |
APOLLO GROUP INC CL A | 369,538 | ||||
35,986 |
APPLE INC | 7,588,008 | ||||
162,763 |
ARES CAPITAL CORP | 2,026,399 | ||||
10,000 |
ARTIO GLOBAL INVESTO CL A | 254,900 | ||||
11,200 |
ASIAINFO HOLDINGS INC | 341,264 | ||||
93,371 |
ASSOCIATED BANC CORP | 1,028,015 |
26
Shares or | ||||||
Units | Description | Current Value | ||||
Other Common Stocks (continued) | ||||||
45,550 |
ASSURANT INC | $ | 1,342,814 | |||
20,700 |
ASTEC INDUSTRIES INC | 557,658 | ||||
13,389 |
AT&T INC | 375,294 | ||||
71,267 |
ATHENAHEALTH INC | 3,224,119 | ||||
38,500 |
ATHEROS COMM INC | 1,318,240 | ||||
228,450 |
ATMEL CORP | 1,053,155 | ||||
14,200 |
ATWOOD OCEANICS INC | 509,070 | ||||
14,932 |
AVON PRODUCTS INC | 470,358 | ||||
6,100 |
BANK AMERICA (1DS/1WT) PF | 91,012 | ||||
62,150 |
BANK OF AMERICA CORPORATI | 935,979 | ||||
42,600 |
BARE ESCENTUALS INC | 520,998 | ||||
5,450 |
BOEING CO | 295,009 | ||||
47,380 |
BORGWARNER INC | 1,573,964 | ||||
163,900 |
BRIGHTPOINT INC | 1,204,665 | ||||
61,310 |
BROADRIDGE FINANCIAL SOL | 1,383,154 | ||||
62,632 |
CA INC | 1,406,715 | ||||
109,552 |
CALPINE CORP | 1,205,072 | ||||
35,700 |
CAPITAL ONE FIN CORP | 1,368,738 | ||||
65,293 |
CAREER EDUCATION CORP | 1,521,980 | ||||
39,700 |
CARRIZO OIL & GAS INC | 1,051,653 | ||||
34,580 |
CARTERS INC | 907,725 | ||||
29,100 |
CATALYST HEALTH SOLUTIONS | 1,061,277 | ||||
570,838 |
CBS CORP CL B | 8,020,274 | ||||
151,287 |
CELGENE CORP | 8,423,660 | ||||
28,000 |
CEPHEID INC | 349,440 | ||||
7,400 |
CHATTEM INC | 690,420 | ||||
11,550 |
CHESAPEAKE ENERGY CORP | 298,914 | ||||
18,466 |
CHIPOTLE MEXICAN GRILL | 1,627,963 | ||||
56,850 |
CISCO SYSTEMS INC | 1,360,989 | ||||
290,291 |
CITRIX SYSTEMS INC | 12,079,009 | ||||
191,847 |
CITY NATIONAL CORP | 8,748,223 | ||||
170,700 |
CLARIENT INC | 452,355 | ||||
13,300 |
CLEAN HARBORS INC | 792,813 | ||||
1,455 |
CME GROUP INC CL A | 488,807 | ||||
103,451 |
COINSTAR INC | 2,873,869 | ||||
34,804 |
COMMERCE BANCSHARES INC | 1,347,611 | ||||
53,100 |
COMMVAULT SYSTEMS INC | 1,257,939 | ||||
28,115 |
COMPASS MINERALS INTL INC | 1,889,047 |
27
Shares or | ||||||
Units | Description | Current Value | ||||
Other Common Stocks (continued) | ||||||
26,800 |
COMSTOCK RESOURCES NEW | $ | 1,087,276 | |||
256,591 |
COMVERSE TECHNOLOGY INC | 2,424,785 | ||||
34,505 |
CONCHO RESOURCES INC | 1,549,275 | ||||
22,000 |
CONCUR TECHNOLOGIES INC | 940,500 | ||||
9,850 |
CONOCOPHILLIPS | 503,040 | ||||
49,471 |
COOPER COMPANIES INC | 1,885,835 | ||||
9,400 |
CORE LABORATORIES NV | 1,110,328 | ||||
74,822 |
CORINTHIAN COLLEGES INC | 1,030,299 | ||||
47,100 |
CORRECTIONS OF AMERICA | 1,156,305 | ||||
25,545 |
CREE INC | 1,439,972 | ||||
508,629 |
CROWN CASTLE INTL CORP | 19,856,876 | ||||
234,734 |
CSX CORP | 11,382,252 | ||||
267,852 |
CVB FINANCIAL CORP | 2,314,241 | ||||
396,364 |
CYRELA BRAZIL REALTY SA E | 5,489,516 | ||||
5,850 |
DEERE & CO | 316,427 | ||||
173,786 |
DENBURY RESOURCES INC | 2,572,033 | ||||
12,221 |
DIONEX CORP | 902,765 | ||||
20,300 |
DIRECTV CL A | 677,005 | ||||
496,824 |
DISNEY (WALT) CO | 16,022,574 | ||||
12,400 |
DRIL-QUIP INC | 700,352 | ||||
39,621 |
DUFF & PHELPS CORP | 723,479 | ||||
182,700 |
EASTMAN KODAK CO | 770,994 | ||||
43,245 |
EATON CORP | 2,751,247 | ||||
65,650 |
EBAY INC | 1,545,401 | ||||
21,864 |
EHEALTH INC | 359,226 | ||||
33,000 |
ELECTRONIC ARTS INC | 585,750 | ||||
30,400 |
EMC CORP | 531,088 | ||||
11,904 |
EMERGENCY MEDICAL SV CL A | 644,602 | ||||
10,900 |
EQUINIX INC | 1,157,035 | ||||
165,128 |
EURONET WORLDWIDE INC | 3,624,560 | ||||
56,500 |
FEI COMPANY | 1,319,840 | ||||
40,685 |
FIRST AMERICAN CORP CALIF | 1,347,080 | ||||
364,121 |
FIRST HORIZON NATIONAL | 4,879,221 | ||||
356,409 |
FIRST NIAGARA FINL GROUP | 4,957,649 | ||||
37,477 |
FIRSTMERIT CORP | 754,787 | ||||
39,700 |
FLOWERS FOODS INC | 943,272 | ||||
421,572 |
FORD MOTOR CO | 4,215,720 | ||||
1,771,000 |
FORD MOTOR CONV 4.25 11/1 | 2,239,784 |
28
Shares or | ||||||
Units | Description | Current Value | ||||
Other Common Stocks (continued) | ||||||
20,700 |
FTI CONSULTING INC | $ | 976,212 | |||
53,677 |
GAFISA SA SPON ADR | 1,736,988 | ||||
44,100 |
GENERAL ELECTRIC CO | 667,233 | ||||
27,300 |
GENOPTIX INC | 969,969 | ||||
4,800 |
GENZYME CORP | 235,248 | ||||
45,900 |
GEO GROUP INC | 1,004,292 | ||||
225,121 |
GILEAD SCIENCES INC | 9,743,237 | ||||
50,273 |
GOLDMAN SACHS GROUP INC | 8,488,093 | ||||
13,827 |
GOOGLE INC A | 8,572,463 | ||||
3,800 |
GREENHILL & CO INC | 304,912 | ||||
60,100 |
GSI COMMERCE INC | 1,525,939 | ||||
15,400 |
GYMBOREE CORP | 669,746 | ||||
99,134 |
HENRY (JACK) & ASSOC INC | 2,291,978 | ||||
27,600 |
HEWLETT-PACKARD CO | 1,421,676 | ||||
28,400 |
HEXCEL CORPORATION | 368,632 | ||||
54,500 |
HIBBETT SPORTS INC | 1,198,455 | ||||
6,100 |
HOME INNS &HO MGT SPON AD | 215,635 | ||||
37,800 |
ICON PLC ADR | 821,394 | ||||
82,200 |
ICONIX BRAND GROUP INC | 1,039,830 | ||||
24,900 |
IDEX CORPORATION | 775,635 | ||||
75,613 |
IMMUCOR INC | 1,530,407 | ||||
50,700 |
INFORMATICA CORP | 1,311,102 | ||||
1,000 |
INTERPUBLIC GROUP OF COS | 7,380 | ||||
11,250 |
INTL BUS MACH CORP | 1,472,625 | ||||
53,463 |
INTUITIVE SURGICAL INC | 16,216,397 | ||||
29,900 |
INVESTMENT TECH GROUP INC | 589,030 | ||||
20,200 |
ITC HLDGS CORP | 1,052,218 | ||||
38,940 |
J CREW GROUP INC | 1,742,176 | ||||
468,508 |
JEFFERIES GROUP INC | 11,117,695 | ||||
72,693 |
JPMC & CO 10/28/18 WT | 968,998 | ||||
410,790 |
JPMORGAN CHASE & CO | 17,117,619 | ||||
60,000 |
KAR AUCTION SERVICES INC | 827,400 | ||||
149,178 |
KEY ENERGY SERVICES INC | 1,311,275 | ||||
144,363 |
LIONS GATE ENTERMENT CORP | 838,749 | ||||
87,448 |
LIVE NATION INC | 744,182 | ||||
77,100 |
LKQ CORP | 1,510,389 | ||||
125,500 |
LOJAS RENNER SA | 2,808,090 |
29
Shares or | ||||||
Units | Description | Current Value | ||||
Other Common Stocks (continued) | ||||||
59,474 |
MAGELLAN HLTH SVCS INC | $ | 2,422,376 | |||
17,800 |
MANTECH INTL CORP CL A | 859,384 | ||||
119,100 |
MARSHALL & ILSLEY CORP | 649,095 | ||||
23,600 |
MASIMO CORP | 717,912 | ||||
54,623 |
MASTERCARD INC CL A | 13,982,396 | ||||
27,400 |
MB FINANCIAL INC | 540,328 | ||||
10,600 |
MEDTRONIC INC | 466,188 | ||||
10,600 |
MERCK & CO INC NEW | 387,324 | ||||
210,733 |
MF GLOBAL LTD | 1,464,594 | ||||
60,100 |
MICROSEMI CORP | 1,066,775 | ||||
29,900 |
MICROSOFT CORP | 911,651 | ||||
11,000 |
MIDDLEBY CORP | 539,220 | ||||
448,634 |
MONEYGRAM INTL INC | 1,292,066 | ||||
20,000 |
MONRO MUFFLER BRAKE INC | 668,800 | ||||
33,500 |
NANOMETRICS INC | 379,555 | ||||
162,136 |
NATIONAL OILWELL VARCO | 7,148,576 | ||||
11,358 |
NBTY INC | 494,527 | ||||
11,622 |
NUCOR CORP | 542,166 | ||||
36,385 |
NYSE EURONEXT | 920,541 | ||||
131,329 |
OCWEN FINANCIAL CORP | 1,256,819 | ||||
35,800 |
OLD DOMINION FREIGHT LINE | 1,099,060 | ||||
178,600 |
PDG REALTY SA | 1,778,827 | ||||
16,353 |
PEABODY ENERGY CORP | 739,319 | ||||
29,400 |
PENNEY (J.C.) CO INC | 782,334 | ||||
147,669 |
PENSKE AUTOMOTIVE GROUP | 2,241,615 | ||||
4,400 |
PEPSICO INC | 267,520 | ||||
164,385 |
PETROBRAS SA SPONS ADR | 7,837,877 | ||||
42,100 |
PETSMART INC | 1,123,649 | ||||
98,300 |
PHASE FORWARD INC | 1,508,905 | ||||
211,820 |
PNC FIN SVCS GRP INC | 11,181,978 | ||||
133,950 |
POLO RALPH LAUREN CL A | 10,847,271 | ||||
79,777 |
PRECISION CASTPARTS CORP | 8,803,392 | ||||
83,520 |
PRIDE INTERNATIONAL INC | 2,665,123 | ||||
68,733 |
PROGRESS SOFTWARE CORP | 2,007,691 | ||||
13,450 |
PRUDENTIAL FINANCIAL INC | 669,272 | ||||
67,500 |
PSS WORLD MEDICAL INC | 1,523,475 | ||||
36,100 |
PSYCHIATRIC SOLUTIONS INC | 763,154 | ||||
5,000 |
QUALCOMM INC | 231,300 |
30
Shares or | ||||||
Units | Description | Current Value | ||||
Other Common Stocks (continued) | ||||||
35,400 |
QUEST SOFTWARE INC | $ | 651,360 | |||
51,980 |
RANGE RESOURCES CORP | 2,591,203 | ||||
27,128 |
REDWOOD TRUST INC REIT | 392,271 | ||||
10,500 |
REGAL-BELOIT CORP | 545,370 | ||||
24,400 |
REINSURANCE GROUP OF AMER | 1,162,660 | ||||
75,340 |
RITCHIE BROS AUCTIONEERS | 1,689,876 | ||||
29,900 |
RIVERBED TECHNOLOGY INC | 686,803 | ||||
31,200 |
ROBBINS & MYERS INC | 733,824 | ||||
37,000 |
ROVI CORPORATION | 1,179,190 | ||||
6,200 |
SAFEWAY INC NEW | 131,998 | ||||
125,230 |
SCIENTIFIC GAMES CL A | 1,822,097 | ||||
19,450 |
SEARS HOLDINGS CORP | 1,623,103 | ||||
45,450 |
SEI INV CORP | 796,284 | ||||
38,100 |
SOLARWINDS INC | 876,681 | ||||
147,088 |
STATE STREET CORP | 6,404,212 | ||||
17,800 |
STEC INC | 290,852 | ||||
17,900 |
SYNAPTICS INC | 548,635 | ||||
58,637 |
TAUBMAN CENTERS INC | 2,105,655 | ||||
34,600 |
TESSERA TECHNOLOGIES INC | 805,142 | ||||
54,150 |
TEXAS INSTRUMENTS INC | 1,411,149 | ||||
24,802 |
TORCHMARK CORP | 1,090,048 | ||||
79,475 |
UNDER ARMOUR INC CL A | 2,167,283 | ||||
34,850 |
UNITEDHEALTH GROUP INC | 1,062,228 | ||||
585,476 |
US BANCORP DEL | 13,179,065 | ||||
38,100 |
UTI WORLDWIDE INC | 545,592 | ||||
203,810 |
VAIL RESORTS INC | 7,704,018 | ||||
3,800 |
VARIAN SEMICONDCT EQP ASS | 136,344 | ||||
79,911 |
VESTAS WIND SYSTEMS AS | 4,873,325 | ||||
54,487 |
WASTE CONNECTIONS INC | 1,816,597 | ||||
789,146 |
WELLS FARGO & CO | 21,299,051 | ||||
70,137 |
WESTERN ALLIANCE BANCORP | 265,118 | ||||
126,500 |
WHITNEY HOLDING CORP | 1,152,415 | ||||
21,300 |
WMS INDUSTRIES INC | 852,000 | ||||
59,924 |
WYNN RESORTS LTD | 3,489,375 | ||||
56,192 |
XL CAPITAL LTD CL A | 1,029,999 | ||||
65,400 |
YAHOO INC | 1,097,412 | ||||
15,000 |
YUM BRANDS INC | 524,550 | ||||
Total Other Common Stocks | 526,119,118 |
31
Shares or | ||||||
Units | Description | Current Value | ||||
Preferred Stocks | ||||||
25,550 |
FREDDIE MAC 8.375 PREF PE | $ | 26,828 | |||
17,900 |
FNMA 8.25% PFD S PERP | 19,690 | ||||
800 |
FNMA 0/10YR CMT+237.5PFD | 1,080 | ||||
270 |
GMAC INC 7 PFD 144A PERP | 178,200 | ||||
Total Preferred Stocks | 225,798 | |||||
Synthetic Investment Contracts | ||||||
CASH | (1,845,154 | ) | ||||
4,413,816 |
COLCHESTER STREET TRUST MONEY MARKET PORTFOLIO CLASS I | 4,413,816 | ||||
643,000 |
ANZ NATL INTL 6.2 7/19/13 144A | 710,152 | ||||
453,000 |
AT&T WIRELESS 7.875% 3/01/11 | 498,593 | ||||
483,000 |
AT&T WIRE GLBL 8.125 5/1/12 DT | 552,298 | ||||
502,000 |
AXA FINL INC 7.75% 8/01/10 | 537,192 | ||||
1,350,000 |
ABBEY NATL 3.875 11/10/14 144A | 1,362,216 | ||||
600,000 |
AMERICN EX FDIC 3.15% 12/09/11 | 621,236 | ||||
62,893 |
AMCAR 04-DF A4 3.43 7/11 | 63,434 | ||||
322,788 |
AMCAR 06-1 C 5.28 11/11 | 326,412 | ||||
217,000 |
APART 07-1 B 5.35% 3/11 | 223,267 | ||||
133,000 |
APART 07-1 C 5.43 7/11 | 135,285 | ||||
592,709 |
AMCAR 06-BG A4 5.21% 9/13 | 611,253 | ||||
477,000 |
AVON PRODUCTS 4.8% 3/01/13 | 511,548 | ||||
327,000 |
BB&T CORP GLBL 6.5% 8/01/11 | 356,164 | ||||
392,000 |
BHP BILLITON 5.125% 3/29/12 | 422,380 | ||||
1,600,000 |
BP CAPITAL MARKETS 3.125% 3/12 | 1,663,493 | ||||
380,000 |
BP CAP MARKETS 1.55% 8/11/11 | 385,042 | ||||
960,000 |
BNP PARIBAS 2.125% 12/21/12 | 955,611 | ||||
445,000 |
BALTIMORE G&E 6.125% 7/01/13 | 494,479 | ||||
96,205 |
BACM 00-2 A2 7.1975 9/32 | 97,338 | ||||
262,175 |
BACM 2003-2 A2 4.342 3/41 | 264,991 | ||||
641,662 |
BACM 05-3 A2 CSTR 7/43 | 644,760 | ||||
6,027,984 |
BACM 05-3 XP CSTR 7/43 | 48,779 | ||||
87,685 |
BACM 04-4 A3 4.128% 7/42 | 88,017 | ||||
50,244 |
BACM 05-4 A1 4.432 7/45 | 50,567 | ||||
3,379,132 |
BACM 05-4 XP CSTR 7/45 | 17,159 | ||||
13,561,010 |
BACM 05-5 XP CSTR 10/45 | 31,573 | ||||
851,412 |
BACM 05-6 A1 5.001 9/47 | 864,092 | ||||
73,946 |
BACM 2006-4 A1 CSTR 5/11 | 75,701 | ||||
157,292 |
BACM 06-5 A1 5.185% 9/47 | 160,429 |
32
Shares or | ||||||
Units | Description | Current Value | ||||
Synthetic Investment Contracts (continued) | ||||||
550,000 |
BOA FDIC GTD MTN 2.1% 4/30/12 | $ | 557,034 | |||
2,404,000 |
BANKAMER 7.8% 2/15/10 GLBL | 2,492,002 | ||||
1,290,000 |
BANK AMER GMTN 7.375 5/15/14 | 1,475,938 | ||||
137,000 |
BANK OF NEW YORK 4.95 1/14/11 | 145,730 | ||||
311,000 |
BANK NY MELLO GLB 4.95 11/12 | 337,506 | ||||
666,000 |
BONY MTN 4.3% 5/15/14 | 704,600 | ||||
563,000 |
BANK ONE CORP 7.875% 8/01/10 | 605,452 | ||||
590,000 |
BNK OF TOKYO MIT GL8.4 4/15/10 | 609,866 | ||||
1,690,000 |
BARCLAYS MTN 2.5% 1/23/13 | 1,692,515 | ||||
16,810 |
BAYC 04-3 M2 1ML+100 1/35 | 7,737 | ||||
61,408 |
BAYC 2007-4A M1 1ML+95 9/37 | 15,366 | ||||
61,408 |
BAYC 2007-4A M2 1ML+105 9/37 | 12,297 | ||||
162,292 |
BAYC 2007-4A M4 1ML+160 9/37 | 26,025 | ||||
162,292 |
BAYC 2007-4A M5 1ML+175 9/37 | 22,783 | ||||
162,292 |
BAYC 2007-4A M6 1ML+195 9/37 | 21,167 | ||||
123,145 |
BSCMS 05-PWR9 A1 4.498 9/42 | 124,331 | ||||
126,054 |
BSCMS 05-T20 A1 4.94% 10/42 | 127,127 | ||||
214,961 |
BSCMS 2006-T22 A1 CSTR 4/38 | 218,595 | ||||
547,752 |
BSCMS 2006-PW12 A2 5.688 9/38 | 561,397 | ||||
479,411 |
BSCMS 06-T24 A1 CSTR 10/41 | 492,645 | ||||
6,669,792 |
BSCMS 2006-T24 X2 CSTR 10/41 | 92,102 | ||||
436,012 |
BSCMS 07-PW17 A1 5.282% 6/50 | 445,203 | ||||
47,802 |
BSCMS 07-PW15 A1 5.016% 2/44 | 49,147 | ||||
266,000 |
BEAR STEARNS CO INC 5.35% 2/12 | 288,574 | ||||
734,000 |
BEAR STEARNS CO 4.245% 1/7/10 | 749,097 | ||||
230,489 |
BSCMS 2007-T28 A1 5.422% 9/42 | 236,848 | ||||
64,039,769 |
BSCMS 07-T28 X2 CSTR 9/42 | 453,080 | ||||
473,869 |
BRHEA 05-4 A5 4.91 12/40 | 417,393 | ||||
1,241,864 |
BRHEA 06-A A2R 3ML+75 12/41 | 1,093,881 | ||||
852,000 |
BRITISH G STEP 12/10 DT | 916,220 | ||||
270,870 |
CD 06-CD2 A1 5.3020 1/46 | 275,841 | ||||
540,656 |
CITEC 06-VT2 A4 5.05% 4/20/14 | 548,804 | ||||
843,668 |
COMM 05-C6 A2 CSTR 6/44 | 849,345 | ||||
6,562,979 |
COMM 05-C6 XP CSTR 6/44 | 27,572 | ||||
479,000 |
CNH 06-B B 5.36% 6/13 | 485,715 | ||||
194,815 |
CPS 07-B A3 5.47% 11/11 | 196,619 | ||||
215,668 |
CPS 2007-C A3 5.43% 5/12 144A | 219,496 | ||||
930,000 |
CANADA GOVT 2.375% 9/10/14 | 920,659 |
33
Shares or | ||||||
Units | Description | Current Value | ||||
Synthetic Investment Contracts (continued) | ||||||
399,000 |
CARAT 07-1 B 5.15% 9/12 | $ | 408,815 | |||
194,000 |
CARAT 07-SN1 B 5.52% 3/15/11 | 195,319 | ||||
114,000 |
CARAT 07-SN1 C 5.73% 3/15/11 | 114,422 | ||||
528,829 |
COAFT 05-C A4A 4.71 6/12 | 533,484 | ||||
643,000 |
COMET 2006-A6 A6 5.3 2/14 | 675,760 | ||||
4,021,000 |
COMET 07-B3 B3 5.05% 3/13 | 4,066,332 | ||||
1,221,000 |
COMET 07-B5 B5 5.4% 5/13 | 1,241,669 | ||||
2,048,000 |
COMET 09-A2 A2 3.2% 4/14 | 2,097,592 | ||||
1,415,000 |
COPAR 06-1 B 5.13 1/13 | 1,418,681 | ||||
266,179 |
COPAR 06-2 A4 4.94% 7/12 | 271,666 | ||||
380,000 |
COPAR 2007-1 B1 5.76% 12/13 | 385,306 | ||||
1,773,000 |
CARGILL INC 6.375% 6/12 144A | 1,940,877 | ||||
390,000 |
CARMX 2009-2 A3 1.74% 4/14 | 388,679 | ||||
153,848 |
CMAOT 06-B B 5.24% 4/14 | 155,450 | ||||
730,000 |
CHAIT 2008-A9 A9 4.3% 5/13 | 760,315 | ||||
2,330,000 |
CHAIT 2009-A3 A3 2.4% 6/13 | 2,367,609 | ||||
600,000 |
CITIGROUP INC 3ML+9 5/18/11 | 590,013 | ||||
1,499,000 |
CITIGROUP INC 5.3% 10/17/12 | 1,577,904 | ||||
700,000 |
CCCIT 06-A4 A4 5.45% 5/13 | 742,159 | ||||
1,655,000 |
CCCIT 07-B2 B2 5% 4/12 | 1,691,064 | ||||
1,336,000 |
CCCIT 07-A5 A5 5.5% 6/12 | 1,368,245 | ||||
1,232,000 |
CCCIT 07-B6 B6 5% 11/12 | 1,264,503 | ||||
1,700,000 |
CCCIT 2009-A3 A3 2.7 6/13 | 1,732,452 | ||||
890,000 |
CCCIT 2009-A5 A5 2.25% 12/14 | 880,336 | ||||
1,529,000 |
CITIGROUP FDIC 2.875% 12/09/11 | 1,577,555 | ||||
2,800,000 |
CITI FDG FDIC 1.875% 10/22/12 | 2,803,859 | ||||
1,700,000 |
CITIGR FDG FDIC 1.875 11/15/12 | 1,703,143 | ||||
1,410,000 |
CITIBANK FDIC MTN 1.875 6/4/12 | 1,420,064 | ||||
2,040,000 |
CITIBANK NA FDIC 1.5% 7/12/11 | 2,068,939 | ||||
202,643 |
CWCI 07-C2 A1 CSTR 4/15/47 | 208,031 | ||||
25,958,562 |
COMM 06-C8 XP CSTR 12/46 | 411,824 | ||||
2,000,226 |
COMM 05-LP5 XP CSTR 5/43 | 16,404 | ||||
162,647 |
GCCFC 2006-GG7 A1 5.7435% 7/38 | 165,785 | ||||
235,316 |
GCCFC 07-GG9 A1 5.233% 03/39 | 240,865 | ||||
33,509,737 |
GCCFC 07-GG11 XP .48% 12/49 | 390,993 | ||||
1,700,000 |
COMWLTH BK AUS 3.75 10/14 144A | 1,717,593 | ||||
3,180,000 |
COMMONWETH MTN2.9 9/17/14 144A | 3,153,933 | ||||
362,000 |
COUNTRYWIDE MTN 4% 3/22/11 | 373,689 |
34
Shares or | ||||||
Units | Description | Current Value | ||||
Synthetic Investment Contracts (continued) | ||||||
78,000 |
COUNTRYWIDE MTN 5.8% 6/7/12 | $ | 83,099 | |||
1,388,000 |
COVIDIEN INT 5.15% 10/15/10 | 1,446,296 | ||||
331,000 |
COVIDIEN INT GLB 5.45% 10/12 | 361,974 | ||||
915,989 |
CPS 06-D A4 5.115% 08/13 | 933,561 | ||||
1,891,000 |
CREDIT SUISSE NY 5% 5/15/13 | 2,028,710 | ||||
271,772 |
CSFB 2002-CP5 A1 4.106 12/35 | 276,905 | ||||
253,682 |
CSFB 03-C5 A3 4.429% 12/36 | 259,350 | ||||
183,529 |
CSFB 04-C1 A3 4.321 1/37 | 186,437 | ||||
121,341 |
CSMC 07-C3 A1 CSTR 6/39 | 124,533 | ||||
807,201 |
CSMC 06-C5 A1 5.297 12/39 | 827,908 | ||||
16,481,760 |
CSMC 06-C5 ASP CSTR 12/39 | 364,151 | ||||
141,762 |
CSMC 07-C1 A1 5.227 2/40 | 144,935 | ||||
29,688,624 |
CSMC 07-C1 ASP CSTR 2/40 | 411,638 | ||||
116,925 |
CSMC 07-C2 A1 5.237 1/49 | 119,768 | ||||
2,350,000 |
CREDIT SUISSE MTN 3.45% 7/2/12 | 2,457,755 | ||||
1,978,000 |
DBS BK LTD 5.125/VAR 5/17 144A | 2,043,803 | ||||
1,202,000 |
DCAT 06-A B 5.14 9/12 | 1,215,461 | ||||
730,000 |
DCAT 2006-C B 5.11% 4/13 | 722,714 | ||||
1,491,000 |
DEUTSCHE TEL 5.375% 3/23/11 | 1,576,546 | ||||
555,000 |
DIAGEO CPTL GLB 5.2 1/30/13 | 606,263 | ||||
1,000,000 |
DIAGEO FIN GLBL 3.875% 4/01/11 | 1,041,830 | ||||
1,004,000 |
EDP FINANCE BV 5.375 11/12 144A | 1,089,995 | ||||
270,000 |
ERP OPERAT LP 5.5% 10/1/12 | 288,998 | ||||
1,293,000 |
ENEL FIN INTL 5.7% 1/15/13144A | 1,429,427 | ||||
6,109 |
FHLM ARM 4.889% 3/33 #847126 | 6,368 | ||||
427,015 |
FHLM ARM 4.69% 11/35 #1B2428 | 449,136 | ||||
72,221 |
FHLM ARM 4.68% 1/36 #847584 | 75,040 | ||||
23,127 |
FHLM ARM 4.305 6/35 #848083 | 24,120 | ||||
44,576 |
FHLM ARM 3.88% 1/35 #848084 | 45,931 | ||||
235,227 |
FHLM ARM 4.542% 4/35 #848085 | 245,248 | ||||
64,162 |
FHLM ARM 3.479% 3/35 #848086 | 66,132 | ||||
1,801,066 |
FHLM ARM 4.482% 4/35 #848088 | 1,856,464 | ||||
33,964 |
FHLM ARM 4.485% 1/35 #848089 | 35,405 | ||||
260,975 |
FHLM ARM 4.277% 2/35 #848090 | 271,339 | ||||
74,635 |
FHLM ARM 5.084% 8/35 #1J0005 | 78,156 | ||||
1,559,943 |
FHLG 15YR 5.00% 3/19 #G13052 | 1,651,813 | ||||
2,273,548 |
FHLG 15YR 5.00% 6/24 #G13598 | 2,407,444 | ||||
196,336 |
FHLM ARM 4.941% 11/35 #1J1228 | 206,665 |
35
Shares or | ||||||
Units | Description | Current Value | ||||
Synthetic Investment Contracts (continued) | ||||||
153,380 |
FHLM ARM 5.26% 1/36 #1J1274 | $ | 159,751 | |||
249,075 |
FHLM ARM 4.93% 9/35 #1K1215 | 258,603 | ||||
59,495 |
FHLM ARM 5.78% 10/35 #1N0063 | 63,286 | ||||
284,652 |
FHLM ARM 5.37% 12/35 #1N0106 | 299,638 | ||||
277,998 |
FHLM ARM 5.62% 12/35 #1N0117 | 286,038 | ||||
119,815 |
FHLM ARM 5.34% 6/35 #1L0097 | 124,527 | ||||
278,446 |
FHLM ARM 4.83% 11/35 #1Q0166 | 292,372 | ||||
263,633 |
FHLM ARM 4.486% 5/35 #1Q0758 | 273,539 | ||||
560,309 |
FHLG 15YR 5.50% 4/18 #G11389 | 600,698 | ||||
127,628 |
FHLM ARM 4.199% 8/36 #848185 | 133,180 | ||||
172,513 |
FHLM ARM 4.571% 3/35 #848186 | 179,639 | ||||
92,927 |
FHR 2290 C 6 2/31 | 99,510 | ||||
126,914 |
FHR 2313 C 6 5/31 | 136,918 | ||||
3,770,000 |
FHLB 3.625% 10/18/13 | 3,976,927 | ||||
1,355,000 |
FHLB 1.75% 8/22/12 | 1,366,803 | ||||
7,485,000 |
FHLB 1.625% 11/21/12 | 7,444,391 | ||||
1,690,000 |
FHLB 1% 12/28/11 | 1,683,046 | ||||
105,582 |
FHR 2417 EH 6% 2/17 | 112,969 | ||||
181,696 |
FHR 2394 KD 6% 12/16 | 194,561 | ||||
19,993,000 |
FHLMC 2.125% 3/23/12 | 20,415,047 | ||||
2,570,000 |
FHLREF NTS BE 2.5% 4/23/14 | 2,580,633 | ||||
16,000,000 |
FHLMC 1.75% 6/15/12 | 16,083,308 | ||||
2,716,000 |
FHLMC 1.125% 12/15/11 | 2,713,503 | ||||
39,616 |
FNMA 20YR 5.50% 10/22 #254522 | 42,038 | ||||
2,586 |
FNMA 15YR 7.00% 3/12 #349639 | 2,717 | ||||
4,573 |
FNMA 15YR 7.00% 5/15 #495848 | 4,944 | ||||
11,929 |
FNMA 15YR 7.00% 1/16 #535662 | 12,904 | ||||
112,422 |
FNMA ARM 4.428% 7/36 #555923 | 116,652 | ||||
11,738 |
FNMA 15YR 7.00% 3/17 #633169 | 12,756 | ||||
152,500 |
FNR 2002-56 MC 5.5% 9/17 | 163,884 | ||||
112,079 |
FHR 2508 UL 5 12/16 | 115,702 | ||||
730,336 |
FNR 03-83 TH 4.5% 11/16 | 756,170 | ||||
668,337 |
FNR 03-123 AB 4 10/16 | 689,048 | ||||
350,709 |
FNR 04-3 HA 4 7/17 | 362,499 | ||||
605,412 |
FNR 2004-3 BA 4% 7/17 | 625,982 | ||||
128,410 |
FHR 2626 NA 5 6/23 | 130,825 | ||||
227,495 |
FNR 2004-15 AB 4% 9/17 | 235,190 | ||||
148,507 |
FHR 2667 PC 3.8% 1/18 | 151,524 |
36
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
127,115 | FHR 2677 LC 4.5 6/15 |
$ | 128,814 | |||||
749,355 | FHR 2763 PD 4.5 12/17 |
786,914 | ||||||
344,827 | FHR 2786 GA 4 8/17 |
356,944 | ||||||
1,152,561 | FHR 2780 QD 4.5 3/18 |
1,211,866 | ||||||
364,573 | FHR 2867 EA 4.5% 11/18 |
379,979 | ||||||
241,207 | FHR 2970 YA 5% 9/18 |
251,066 | ||||||
501,623 | FHR 3077 GA 4.5% 8/19 |
523,712 | ||||||
2,518,295 | FNR 2008-29 CA 4.5% 9/35 |
2,596,779 | ||||||
2,415,366 | FNR 2008-95 AD 4.5% 12/23 |
2,529,819 | ||||||
6,706,000 | FNMA 3.625% 2/12/13 |
7,127,449 | ||||||
5,860,000 | FNMA 2% 1/9/12 |
6,001,218 | ||||||
2,270,000 | FNMA 2.75% 3/13/14 |
2,308,007 | ||||||
3,107,000 | FNMA 2.5% 5/15/14 |
3,110,829 | ||||||
5,145,252 | FHR 3555 CM 4% 12/14 |
5,353,678 | ||||||
5,230,157 | FHR 3555 KH 4% 12/14 |
5,451,167 | ||||||
7,567 | FNMA ARM 4.318% 3/33 #694530 |
7,854 | ||||||
28,741 | FNMA ARM 4.801% 2/33 #695019 |
29,588 | ||||||
3,032 | FNMA ARM 3.984% 5/33 #703915 |
3,138 | ||||||
322,514 | FNMA ARM 4.57% 6/33 #712321 |
337,097 | ||||||
301,837 | FNMA ARM 4.564% 4/33 #713937 |
310,579 | ||||||
729,824 | FNMA 15YR 4.00% 9/18 #734729 |
751,215 | ||||||
287,340 | FNMA ARM 4.68% 11/34 #735011 |
301,038 | ||||||
14,079 | FNMA 15YR 7.00% 11/18 #735420 |
15,131 | ||||||
357,988 | FNMA 15YR 4.50% 7/20 #745874 |
374,154 | ||||||
210,592 | FNMA ARM 5.541% 11/36 #745972 |
219,742 | ||||||
26,703 | FNMA ARM 3.753% 10/33 #746320 |
27,849 | ||||||
16,048 | FNMA ARM 4.358% 10/33 #754672 |
16,555 | ||||||
42,890 | FNMA ARM 3.752% 10/33 #755148 |
44,140 | ||||||
33,491 | FNMA ARM 4.455% 3/35 #773281 |
34,703 | ||||||
25,861 | FNMA 15YR 7.00% 8/14 #783427 |
27,834 | ||||||
72,934 | FNMA ARM 4.499% 3/35 #783587 |
75,096 | ||||||
22,322 | FNMA ARM 5.05% 7/34 #801635 |
23,089 | ||||||
86,862 | FNMA ARM 4.513% 12/34 #802695 |
89,459 | ||||||
298,943 | FNMA ARM 4.53% 12/34 #802852 |
311,872 | ||||||
12,100 | FNMA ARM 4.293% 3/35 #815586 |
12,576 | ||||||
60,640 | FNMA ARM 4.75% 5/35 #815626 |
62,830 | ||||||
5,790 | FNMA ARM 4.653% 3/35 #816322 |
5,995 | ||||||
70,840 | FNMA ARM 5.12% 6/35 #823810 |
74,208 |
37
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
170,640 | FNMA ARM 4.96% 6/35 #825388 |
$ | 175,779 | |||||
498,895 | FNMA ARM 4.58% 7/35 #826362 |
519,700 | ||||||
64,529 | FNMA ARM 4.520% 8/35 #829603 |
67,264 | ||||||
76,194 | FNMA ARM 4.555% 7/35 #832099 |
79,007 | ||||||
13,406 | FNMA ARM 5.344% 7/35 #834917 |
13,817 | ||||||
40,676 | FNMA ARM 5.349% 12/34 #843013 |
41,859 | ||||||
14,023 | FNMA ARM 5.280% 3/35 #843014 |
14,387 | ||||||
72,754 | FNMA ARM 4.893% 10/35 #847787 |
75,590 | ||||||
35,278 | FNMA ARM 6.25% 6/36 #886983 |
36,721 | ||||||
380,648 | FNMA ARM 4.86% 7/35 #888382 |
396,681 | ||||||
819,061 | FNMA ARM 5.07% 9/36 #888398 |
864,170 | ||||||
1,400,201 | FNMA 15YR 4.50% 12/18 #888889 |
1,463,429 | ||||||
1,354,650 | FNMA 15YR 4.50% 6/18 #889335 |
1,416,668 | ||||||
1,589,171 | FNMA 15YR 4.50% 12/18 #889336 |
1,660,932 | ||||||
260,954 | FNMA ARM 4.36% 10/37 #889704 |
272,826 | ||||||
292,729 | FNMA ARM 4.21% 5/35 #889946 |
303,426 | ||||||
3,601,786 | FNMA ARM 4.90% 2/36 #995015 |
3,747,075 | ||||||
548,805 | FNMA ARM 4.59% 7/35 #995016 |
570,521 | ||||||
373,441 | FNMA ARM 4.30% 2/35 #995017 |
387,506 | ||||||
2,488,418 | FNMA ARM 4.987% #995269 |
2,558,813 | ||||||
622,325 | FNMA ARM 4.785% 2/36 #995271 |
653,474 | ||||||
35,762 | FNMA ARM 4.898% 5/35 #995272 |
37,162 | ||||||
163,789 | FNMA ARM 4.58% 7/35 #995273 |
170,426 | ||||||
8,255 | FNMA ARM 4.765% 1/34 #995274 |
8,586 | ||||||
327,664 | FNMA ARM 4.53% 10/35 #995414 |
340,406 | ||||||
1,846,402 | FNMA ARM 4.55% 10/35 #995415 |
1,917,564 | ||||||
1,936,778 | FNMA ARM 4.715% 11/35 #995604 |
2,028,466 | ||||||
471,068 | FNMA ARM 4.647% 4/35 #995605 |
485,234 | ||||||
351,049 | FNMA ARM 4.512% 12/36 #995606 |
364,967 | ||||||
413,723 | FNMA ARM 4.545% 12/36 #995607 |
429,783 | ||||||
135,945 | FNMA ARM 5.075% 7/34 #995609 |
141,679 | ||||||
686,824 | FNMA 15YR 5.00% 12/18 #995756 |
727,381 | ||||||
2,483,756 | FNMA 15YR 5.00% #995836 |
2,624,987 | ||||||
1,085,230 | FNMA 15YR 5.00% 1/21 #995861 |
1,149,143 | ||||||
993,377 | FNMA 15YR 5.00% 6/24 #995902 |
1,052,345 | ||||||
1,817,610 | FNMA ARM 3.92% 2/39 #AC0036 |
1,891,173 | ||||||
41,850 | FNMA ARM 4.344% 10/33 #AD0011 |
43,210 | ||||||
1,640,747 | FNMA ARM 4.807% 1/35 #AD0064 |
1,681,196 |
38
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
2,165,392 | FNMA ARM 5.129% 9/35#AD0065 |
$ | 2,253,245 | |||||
663,839 | FNMA ARM 4.285% 7/33#AD0066 |
685,674 | ||||||
82,306 | FNMA ARM 3.206% 4/36#AD0068 |
84,179 | ||||||
3,496,871 | FNMA 15YR 4.50% 8/24 #AD0116 |
3,654,777 | ||||||
5,903,342 | FNMA 15YR 4.50% 8/24 #AD0117 |
6,169,915 | ||||||
3,083,045 | FNMA 15YR 4.50% 7/18 #AD0118 |
3,224,191 | ||||||
95,022 | FNMA ARM 4.82% 2/36 #AD0175 |
98,924 | ||||||
848,058 | FNMA ARM 4.49% 4/35 #AD0176 |
880,705 | ||||||
98,078 | FNMA ARM 3.32% 9/34 #AD0177 |
101,440 | ||||||
90,760 | FNMA ARM 3.334% 4/36 #AD0178 |
93,005 | ||||||
650,000 | FORDO 2006-B B 5.43% 2/12 |
678,430 | ||||||
390,000 | FORDO 2006-C B 5.3% 6/12 |
409,674 | ||||||
230,000 | FORDO 07-A B 5.6% 10/12 |
243,972 | ||||||
290,000 | FORDO 2009-B A2 2.46 11/11TALF |
292,135 | ||||||
600,000 | FORDO 2009-B A3 2.79 8/13TALF |
612,187 | ||||||
400,000 | FORDO 09-D A3 2.17% 10/15/13 |
404,343 | ||||||
700,000 | FORDO 2009-E A3 1.51% 1/14 |
696,543 | ||||||
847,000 | FRANCE TELE MTN 4.375% 7/14 DT |
902,993 | ||||||
118,000 | FRNK 06-1 B1 5.14% 7/14 |
119,264 | ||||||
418,000 | FRNK 07-1 B 5.13 2/15 |
417,509 | ||||||
1,134,000 | GEMNT 07-1 B 4.95% 3/13 |
1,129,771 | ||||||
4,032,000 | GEMNT 2007-3 A2 5.4% 6/13 |
4,121,556 | ||||||
1,202,000 | GEMNT 2007-3 B 5.49% 6/13 |
1,224,548 | ||||||
1,700,000 | GEMNT 2009-3 A 2.54% 9/14 |
1,703,278 | ||||||
18,155,405 | GECMC 07-C1 XP CSTR 12/49 |
132,405 | ||||||
169,668 | GMACC 04-C2 A2 CSTR 8/38 |
173,407 | ||||||
2,049,747 | GMACC 05-C1 X2 CSTR 5/43 |
27,293 | ||||||
1,937,000 | GE CAP 5.2% 2/01/11 |
2,062,649 | ||||||
960,000 | GE CAP MTN 5.9% 5/13/14 |
1,045,381 | ||||||
4,150,000 | GE CAP CORP 3.5% 8/12 |
4,291,310 | ||||||
3,238,000 | GE CAP FDIC 3% 12/09/11 |
3,343,738 | ||||||
2,520,000 | GE CAP FDIC 1.8% 3/11/11 |
2,562,160 | ||||||
1,916,000 | GE CAP FDIC MTN 2.625 12/28/12 |
1,951,698 | ||||||
2,160,000 | GE CAP FDIC GMTN 2% 9/28/12 |
2,173,955 | ||||||
327,000 | GLAXOSMTH KLINE 4.85% 5/15/13 |
353,044 | ||||||
600,000 | GOLDMAN SA FDIC 2.15% 3/12 |
613,524 | ||||||
982 | GNR 02-35 C CSTR 10/23 |
990 | ||||||
31,054 | GPMH 01-1 IA 1ML+34 4/32 |
30,552 |
39
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
399,786 | GCCFC 03-C1 A2 3.285% 7/35 |
$ | 402,296 | |||||
505,910 | GCCFC 04-GG1 A4 4.755 6/36 |
510,073 | ||||||
119,524 | GSALT 07-1 B 5.53% 12/14 |
117,427 | ||||||
555,000 | HSBC USA FDIC 3.125% 12/16/11 |
575,066 | ||||||
677,000 | HAT 2006-2 A4 5.67% 6/13 |
700,143 | ||||||
500,000 | HAROT 2009-3 A3 2.31% 5/13 |
506,987 | ||||||
151,411 | HAT 07-1 A3 5.3% 11/11/11 |
153,633 | ||||||
718,924 | HAT 07-1 A4 5.33% 11/18/13 |
749,671 | ||||||
225,000 | HUTCHISON WH 5.45 11/24/10 144 |
232,960 | ||||||
16,262 | HART 06-1 B 5.29 11/12 |
16,332 | ||||||
21,327 | HART 06-1 C 5.34 11/12 |
21,407 | ||||||
142,654 | HART 2006-B C 5.25% 5/13 |
145,230 | ||||||
380,000 | HART 2009-A A3 2.03% 8/13 |
382,835 | ||||||
2,085,000 | JP MORGAN CS GLB6.75 2/1/11 DT |
2,258,003 | ||||||
262,000 | JPMORGAN CHAS 4.891/VAR 9/15 |
266,813 | ||||||
1,267,000 | JPMORGAN CHASE 4.75% 5/1/13 |
1,347,377 | ||||||
1,708,000 | JPMC CO MTN 4.65% 6/14 |
1,805,892 | ||||||
84,542 | JPMCC 2001-C1 A2 5.464 10/35 |
85,582 | ||||||
711,301 | JPMCC 04-CB9 A2 CSTR 6/41 |
723,832 | ||||||
18,410,201 | JPMCC 05-LDP4 X2 CSTR 10/42 |
94,715 | ||||||
289,801 | JPMCC 2006-LDP9 A1 CSTR 5/47 |
297,857 | ||||||
136,882 | JPMCC 07-LDP10 A-1 5.122% 1/49 |
140,461 | ||||||
434,000 | JACKSON NATL 5.375% 5/8/13 144 |
438,564 | ||||||
590,441 | JPMRT 2006-A A4 5.14% 12/14 |
609,543 | ||||||
67,474 | JPMART 2006-A B 5.36% 12/14 |
67,616 | ||||||
817,000 | JPMORGAN FDIC 3.125 12/1/11 DT |
847,708 | ||||||
293,000 | KEYSPAN CORP 7.625% 11/15/10 |
311,821 | ||||||
1,004,000 | KRAFT FOODS INC 5.625% 8/11/10 |
1,054,640 | ||||||
1,470,000 | KFW GLB 4.75 5/15/12 |
1,583,980 | ||||||
1,600,000 | KFW GLB 3.5 5/16/13 |
1,674,797 | ||||||
121,642 | LBUBS 07-C1 A1 CSTR 2/15/40 |
124,719 | ||||||
222,167 | LBUBS 2006-C6 A1 5.23 9/39 |
226,264 | ||||||
84,397 | LBUBS 2006-C7 A1 5.279 11/38 |
86,671 | ||||||
95,961 | LBUBS 07-C2 A1 5.226 2/40 |
98,068 | ||||||
67,368 | LBUBS 00-C3 A2 7.95 5/25 |
67,754 | ||||||
227,296 | LBUBS 00-C5 A2 6.51 12/26 |
233,916 | ||||||
1,505,557 | LBUBS 2000-C5 E 7.29% 12/32 |
1,510,458 | ||||||
361,364 | LBUBS 2001-C3 B 6.512 6/36 |
370,245 |
40
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
69,111 | LBUBS 04-C6 A2 4.187% 8/29 |
$ | 69,274 | |||||
22,581,575 | LBUBS 04-C1 XCP 1.0542 1/17/2034 |
197,292 | ||||||
17,514,029 | LBUBS 05-C5 XCP CSTR 9/40 |
193,601 | ||||||
20,053,489 | LBUBS 05-C7 XCP CSTR 11/40 |
114,911 | ||||||
100,699 | LBUBS 2006-C3 A1 5.478 3/39 |
102,525 | ||||||
118,318 | MLCFC 07-6 A1 5.175% 3/12/51 |
121,296 | ||||||
1,651,000 | MANUFTRS & TRD 3.85/VAR 4/1/13 |
1,525,262 | ||||||
144,641 | MVCOT 06-2A A 5.417% 10/28 |
125,821 | ||||||
42,225 | MVCOT 06-2A B 5.467% 10/28 |
34,989 | ||||||
19,193 | MVCOT 06-2A C 5.766% 10/28 |
14,542 | ||||||
500,000 | MASSMUTUAL GL 3.625% 7/12 144A |
522,115 | ||||||
520,000 | MBART 2009-1 A3 1% 1/15/14 |
520,339 | ||||||
346,000 | MERRILL LYN CO 6.15% 4/25/13 |
374,175 | ||||||
553,822 | MLMT 04-MKB1 A2 4.353% 2/42 |
561,247 | ||||||
1,129,533 | MLMT 05-MKB2 XP CSTR 9/42 |
8,431 | ||||||
2,380,529 | MLMT 05-MCP1 XP CSTR 6/43 |
47,442 | ||||||
2,206,000 | MET LIFE GLBL 5.75 7/25/11 144 |
2,373,507 | ||||||
959,000 | MET LIFE GBL 3ML+75 6/25/10144 |
960,385 | ||||||
597,000 | MET LIFE MTN 5.125 6/14 144A |
633,588 | ||||||
1,253,000 | MET LIFE GBL 2.875 9/17/12 144 |
1,273,239 | ||||||
917,000 | MIDAMERICAN ENRG 5.65% 7/15/12 |
1,013,830 | ||||||
211,086 | MLCFC 07-8 A1 4.622% 8/49 |
215,702 | ||||||
199,000 | MONUMENTAL GLBL 5.5% 4/13 144A |
206,849 | ||||||
320,000 | MSTDW GLBL 6.75% 4/15/11 |
343,595 | ||||||
159,969 | MSC 04-HQ3 A2 4.05 1/41 |
161,466 | ||||||
2,704,715 | MSC 05-TOP17 X2 CSTR 12/41 |
43,323 | ||||||
2,832,774 | MSC 05-HQ5 X2 CSTR 1/42 |
17,699 | ||||||
1,350,125 | MSC 06-T21 A1 4.925 10/52 |
1,370,657 | ||||||
40,365 | MSDWC 01-PPM A3 6.54% 2/31 |
41,923 | ||||||
720,000 | MORGAN STANLEY 6% 5/13/14 |
779,905 | ||||||
148,262 | MSC 2006-T23 A1 5.682% 8/41 |
151,900 | ||||||
497,247 | MSC 2006-HQ9 A1 5.49% 7/44 |
513,033 | ||||||
14,164,743 | MSC 2006-HQ10 X2 CSTR 11/41 |
209,820 | ||||||
219,070 | MSC 2007-HQ11 A1 5.246% 2/44 |
225,260 | ||||||
221,593 | MSC 07-IQ13 A1 5.05% 3/44 |
227,772 | ||||||
1,450,000 | MORGAN STAN FDIC 3.25% 12/1/11 |
1,508,048 | ||||||
750,000 | NATL AUST BK 5.35% 6/12/13 144 |
809,373 | ||||||
1,820,000 | NATLAUST BK 2.35 11/16/12 144A |
1,813,596 |
41
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
1,286,000 | NCSLT 2007-2 AIO 6.7% 7/12 |
$ | 194,753 | |||||
4,633,000 | NCSLT 2006-2 AIO 6% 8/11 |
340,526 | ||||||
311,914 | NCSLT 05-2 AIO 7.73 3/12 |
5,676 | ||||||
1,103,111 | NCSLT 06-1 A-IO 5.5 4/11 |
58,925 | ||||||
2,172,000 | NCSLT 2006-3 AIO 7.1% 1/12 |
273,675 | ||||||
1,487,000 | NCSLT 06-4 AIO 6.35% 02/12 |
178,961 | ||||||
1,765,000 | NCSLT 2007-1 AIO 7.27% 4/12 |
262,828 | ||||||
670,000 | NY LIFE 2.25% 12/14/12 144A |
669,303 | ||||||
921,000 | NYLIFE GLB4.65% 5/9/13 144A |
973,576 | ||||||
590,000 | NALT 2009-B A3 1 1/15 |
594,026 | ||||||
410,000 | NALT 2009-A A2 2.01% 4/11 |
412,832 | ||||||
1,868,000 | NORD 07-1A A 4.92 5/13 144A |
1,888,081 | ||||||
175,000 | NORTHERN TRUST CO 5.5% 8/15/13 |
195,068 | ||||||
165,000 | NORTHERN TR CO 4.625% 5/1/14 |
177,099 | ||||||
536,280 | NEF 05-1 A5 4.74 10/45 |
497,026 | ||||||
114,000 | ORIX CORP 5.48% 11/22/11 |
115,098 | ||||||
624,000 | PECO ENERGY MTN 5.6% 10/15/13 |
685,519 | ||||||
1,620,000 | PNC FUNDING
CORP 4.5 3/10/10 |
1,653,106 | ||||||
970,000 | PNC FUNDG MTN 5.4% 6/10/14 |
1,040,443 | ||||||
540,000 | PACIFIC GAS & ELEC 6.25% 12/13 |
603,965 | ||||||
1,191,000 | PFIZER 4.45% 3/15/12 |
1,275,265 | ||||||
660,000 | PRICOA GLB 1 MTN5.45 6/14 144A |
702,285 | ||||||
345,000 | PRICOA GLB FDG 5.4% 10/12 144A |
363,813 | ||||||
1,214,000 | PROCTOR&GAMBLE INTL 1.35% 8/11 |
1,225,841 | ||||||
4,360,000 | RABOBANK NEDER 2.65% 8/12 144A |
4,453,081 | ||||||
1,302,000 | RIO TINTO FIN 5.875% 7/15/13 |
1,440,178 | ||||||
2,221,000 | ROYALBK Y$CD 2.25% 3/15/13 |
2,242,103 | ||||||
1,690,000 | ROYAL BK SCT 1.5% 3/30/12 144A |
1,675,809 | ||||||
171,000 | SBC COMM GLBL 6.25 3/15/11 |
184,231 | ||||||
260,000 | SBC COMM GLBL 5.875% 2/01/12 |
287,529 | ||||||
217,000 | SBC COMM GLBL 5.3 11/15/10 |
227,050 | ||||||
198,749 | SLMA 04-A B 3ML+58 6/33 |
104,125 | ||||||
439,878 | SBM7 00-C3 A2 6.592 12/33 |
450,014 | ||||||
600,000 | SANTANDER 5.805/VAR 6/20/16 |
559,064 | ||||||
951,000 | SCOTLAND INTL 7.7% 8/15/10144A |
992,870 | ||||||
1,702,000 | SHELL INTL FIN 1.3% 9/22/11 |
1,712,478 | ||||||
464,000 | SIMON PROPERTY 5.3% 5/30/13 |
480,875 | ||||||
239,000 | SOUTHERN CO 4.15% 5/14 |
247,043 |
42
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
140,000 | STATE ST CORP 4.3% 5/30/14 DT |
$ | 145,392 | |||||
254,119 | LLL 1997-LLI D 7.15 10/34 |
267,132 | ||||||
2,382,000 | SVENSKA MTN 2.875 9/14/12 144A |
2,417,049 | ||||||
761,000 | TELEFONOS MEXICO 4.75% 1/27/10 |
778,366 | ||||||
928,000 | TRANSCAPIT 5.67% 3/5/14 144A |
951,945 | ||||||
1,104,630 | TAROT 2006-C A4 5.31% 5/13 |
1,146,436 | ||||||
33,569 | TAROT 2006-B A3 5.41% 8/11 |
33,750 | ||||||
533,000 | TAROT 2006-B A4 5.52% 11/12 |
548,844 | ||||||
855,000 | HCARD 07-1 B 5.53% 6/12 |
860,869 | ||||||
940,000 | USAOT 2009-2 A3 1.54% 10/12 |
936,189 | ||||||
1,020,000 | US CNTRL FED CU 1.9% 10/19/12 |
1,023,078 | ||||||
989,000 | UNCREDIT LUX 5.584/VAR 1/13/17 |
967,170 | ||||||
1,030,000 | US BANCORP MTN 4.2% 5/15/14 |
1,074,710 | ||||||
2,245,500 | USTN 4.625% 7/31/12 |
2,468,601 | ||||||
25,007,000 | USTN 2.75% 2/28/13 |
25,998,676 | ||||||
10,243,700 | USTN 2.5% 3/31/13 |
10,542,372 | ||||||
17,852,900 | USTN 3.125% 9/30/13 |
18,697,007 | ||||||
3,243,000 | USTN 2.75% 10/31/13 |
3,336,725 | ||||||
13,768,000 | USTN 2% 11/30/13 |
13,719,072 | ||||||
435,000 | USTN 1.125% 1/15/12 |
436,853 | ||||||
6,549,000 | USTN 1.875% 2/28/14 |
6,482,769 | ||||||
21,593,000 | USTN 1.75% 3/31/14 |
21,177,245 | ||||||
23,751,000 | USTN 1.875% 4/30/14 |
23,339,260 | ||||||
33,892,000 | USTN 1.875% 6/15/12 |
34,292,389 | ||||||
26,721,000 | USTN 1.125% 12/15/12 |
26,306,969 | ||||||
2,871,000 | USTN 1% 12/31/11 |
2,862,951 | ||||||
1,196,000 | USTN .75% 11/30/11 |
1,188,987 | ||||||
1,503,000 | UNITED HLTH 5.125% 11/15/10 |
1,564,846 | ||||||
681,000 | VERIZON COM INC 5.25% 4/15/13 |
741,645 | ||||||
445,000 | VERIZON GLBL 7.25% 12/1/10 |
472,954 | ||||||
540,000 | VERIZON NE GLB 6.5% 9/15/11 DT |
585,898 | ||||||
669,000 | VERIZON WIRELESS 5.25% 2/1/12 |
724,193 | ||||||
2,047,000 | VERIZON WRLSS 3.75% 5/20/11 |
2,119,539 | ||||||
289,000 | VODAFONE GRP PLC 5.5% 6/15/11 |
305,503 | ||||||
1,362,000 | VWALT 2009-A A3 3.41% 4/12 |
1,398,125 | ||||||
258,660 | WBCMT 05-C16 APB 4.692% 10/41 |
262,961 | ||||||
182,080 | WBCMT 03-C6 A2 4.498 8/35 |
184,684 | ||||||
300,503 | WBCMT 04-C11 A3 4.719 1/41 |
299,940 |
43
Shares or | ||||||||
Units | Description | Current Value | ||||||
Synthetic Investment Contracts (continued) |
||||||||
1,267,219 | WBCMT 2004-C15 A2 4.039 10/41 |
$ | 1,269,417 | |||||
377,000 | WALOT 06-1B 5.15% 7/12 |
389,608 | ||||||
863,000 | WALOT 06-1 C 5.22% 11/12 |
883,293 | ||||||
264,721 | WALOT 06-1 A-4 5.08% 4/12 |
269,611 | ||||||
669,000 | WALOT 06-2 B 5.29% 6/12 |
689,235 | ||||||
316,000 | WALOT 06-2 C 5.34% 10/12 |
324,156 | ||||||
886,000 | WALOT 07-1 B 5.38% 7/20/12 |
920,044 | ||||||
616,000 | WALOT 07-1 C 5.45% 10/22/12 |
632,019 | ||||||
1,175,862 | WBCMT 06-C29 A1 5.121% 11/48 |
1,204,694 | ||||||
191,192 | WBCMT 07-C30 A1 5.031% 12/43 |
195,461 | ||||||
18,204,353 | WBCMT 2007-C30 XP CSTR 12/43 |
279,868 | ||||||
836,000 | WACHOVIA CORP 3ML+13 10/15/11 |
827,388 | ||||||
865,000 | WALMART STORES MTN 3.2% 5/14 |
884,411 | ||||||
1,508,996 | WMMNT 2007-A4A A4 5.2% 10/14 |
1,560,242 | ||||||
120,000 | WMMNT 07-A5A A5 1ML+75 10/14 |
120,151 | ||||||
574,000 | WASHINGTON REIT 5.95% 6/15/11 |
585,120 | ||||||
1,700,000 | WELLS FARGO 3.75% 10/1/14 |
1,710,929 | ||||||
7,643,000 | WELLS FAR FDIC 3% 12/09/11 |
7,904,401 | ||||||
2,495,000 | WELLS FARGO 4.2% 1/15/10 |
2,545,493 | ||||||
371,000 | WELLS FARGO 5.25% 10/23/12 |
399,749 | ||||||
500,000 | WELLS GLBL 6.45% 2/01/11 |
541,461 | ||||||
1,690,000 | WESTPAC BKG 2.25% 11/19/12 |
1,690,451 | ||||||
540,000 | YALE UNIV MTN 2.9% 10/15/14 |
540,223 | ||||||
Total Wrap Rebid Value |
931,793 | |||||||
Total Synthetic Investment Contracts |
595,667,441 | |||||||
Mutual Funds |
||||||||
Fidelity BrokerageLink* |
185,675,842 | |||||||
4,335,699 | Dodge & Cox Stock Fund |
416,834,088 | ||||||
Total Mutual Funds |
602,509,930 | |||||||
U.S. Government and Agency Securities |
||||||||
United States Treasury Notes |
||||||||
307,000 | USTN TII 2.375% 1/15/25 |
371,804 | ||||||
2,392,000 | USTN TII 1.75% 1/15/28 |
2,370,867 | ||||||
910,000 | USTN TII 2.5% 1/15/29 |
984,906 | ||||||
8,760,000 | USTN 3.375% 11/15/19 |
8,426,069 | ||||||
1,010,000 | USTN 2.125% 11/30/14 |
986,093 |
44
Shares or | ||||||||
Units | Description | Current Value | ||||||
U.S. Government and Agency Securities (continued) |
||||||||
United States Treasury Notes (continued) |
||||||||
7,340,000 | USTN 2.75% 11/30/16 |
$ | 7,066,468 | |||||
2,130,000 | USTN 1.125% 12/15/12 |
2,095,877 | ||||||
7,090,000 | USTN 3.25% 12/31/16 |
7,030,175 | ||||||
Total United States Treasury Notes |
29,332,259 | |||||||
United States Treasury Bills |
||||||||
550,000 | USTBILL 0% 4/29/10 |
549,847 | ||||||
Total United States Treasury Bills |
549,847 | |||||||
United States Treasury Bonds |
||||||||
10,230,000 | USTB 4.5% 8/15/39 |
9,998,229 | ||||||
6,300,000 | USTB 4.375% 11/15/39 |
6,030,284 | ||||||
Total United States Treasury Bonds |
16,028,513 | |||||||
Federal Agency Obligations |
||||||||
Federal National Mortgage Association |
||||||||
1,880,000 | FNMA 0% 10/9/19 |
1,020,834 | ||||||
1,700,000 | FNMA 5 2/13/17 |
1,845,345 | ||||||
3,050,000 | FNMA 6.25% 2/01/11 SUBS |
3,204,144 | ||||||
1,120,872 | FNMA 5.50% 1/37 #256552 |
1,176,215 | ||||||
2,456,341 | FNMA 5.00% 2/36 #745275 |
2,525,522 | ||||||
77,724 | FNMA 6.00% 10/35 #745000 |
82,876 | ||||||
281,545 | FNMA 6.50% 8/36 #745744 |
302,463 | ||||||
412,487 | FNMA 5.50% 11/36 #745959 |
433,111 | ||||||
209,914 | FNMA 6.00% 5/35 #821192 |
223,993 | ||||||
623,319 | FNMA 5.00% 2/36 #888022 |
641,166 | ||||||
2,835,341 | FNMA 5.00% 3/35 #889757 |
2,916,525 | ||||||
156,018 | FNMA 6.50% 8/36 #892604 |
167,463 | ||||||
165,240 | FNMA 6.50% 5/36 #895817 |
177,517 | ||||||
294,085 | FNMA 6.50% 9/36 #897131 |
315,659 | ||||||
176,003 | FNMA 6.50% 1/37 #897910 |
188,969 | ||||||
109,002 | FNMA 6.50% 9/36 #900136 |
116,999 | ||||||
186,884 | FNMA 6.50% 3/37 #910393 |
200,535 | ||||||
1,340,064 | FNMA ARM 5.51% 2/37 #913990 |
1,403,445 | ||||||
197,760 | FNMA 6.50% 7/37 #939680 |
212,144 | ||||||
238,652 | FNMA 6.50% 8/37 #948231 |
256,010 | ||||||
172,811 | FNMA 6.50% 8/37 #948641 |
185,380 |
45
Shares or | ||||||||
Units | Description | Current Value | ||||||
U.S. Government and Agency Securities (continued) |
||||||||
Federal Agency Obligations (continued) |
||||||||
Federal National Mortgage Association (continued) |
||||||||
128,667 | FNMA 6.50% 8/37 #948731 |
$ | 138,025 | |||||
182,974 | FNMA 6.00% 9/37 #952504 |
194,503 | ||||||
162,512 | FNMA 6.50% 9/37 #952515 |
174,332 | ||||||
134,369 | FNMA 6.50% 9/37 #952838 |
144,142 | ||||||
229,353 | FNMA 6.50% 8/37 #959422 |
246,035 | ||||||
4,049,622 | FNMA 5.00% 5/38 #981583 |
4,161,145 | ||||||
3,232,933 | FNMA 5.00% 6/38 #985407 |
3,321,965 | ||||||
500,000 | FNMA 5.00% 1/40 #TBA |
513,164 | ||||||
-500,000 | FNMA 5.00% 1/40 #TBA |
(513,164 | ) | |||||
1,900,000 | FNMA 6.00% 1/40 #TBA |
2,012,516 | ||||||
13,300,000 | FNMA 15YR 5.50% 1/25 #TBA |
14,070,985 | ||||||
300,000 | FNMA 15YR 6.00% 1/25 #TBA |
320,227 | ||||||
Total Federal National Mortgage Association |
42,380,190 | |||||||
Government National Mortgage Association |
||||||||
1,200,000 | GNII II 5.50% 1/40 #TBA |
1,258,219 | ||||||
3,500,000 | GNII II 6.00% 1/40 #TBA |
3,707,813 | ||||||
709,980 | GNMA 5.00% 6/34 #605461 |
735,938 | ||||||
1,600,000 | GNMA 5.00% 1/40 #TBA |
1,645,875 | ||||||
2,400,000 | GNMA 6.00% 1/40 #TBA |
2,536,500 | ||||||
1,493,365 | GNMA 5.00% 6/34 #616475 |
1,547,966 | ||||||
1,860,471 | GNR 2009-HO1 FA 1.4% 11/59 |
1,872,099 | ||||||
Total Government National Mortgage Association |
13,304,410 | |||||||
Federal Home Loan Bank |
||||||||
1,880,000 | FHLB 5.5% 7/15/36 |
1,928,613 | ||||||
Total Federal Home Loan Bank |
1,928,613 | |||||||
Federal Home Loan Mortgage Corporation |
||||||||
489,573 | FHLM ARM 4.433% 7/35 #1B3925 |
506,026 | ||||||
4,645,900 | FHLG 5.50% 12/36 #G02427 |
4,878,921 | ||||||
50,162 | FHLG 5.50% 7/37 #G03092 |
52,796 | ||||||
205,782 | FHLM ARM 5.84% 2/37 #1N1447 |
215,644 | ||||||
505,690 | FHLM ARM 6.03% 5/37 #1N1463 |
531,307 | ||||||
562,260 | FHLM ARM 5.95% 5/37 #1N1582 |
589,943 | ||||||
1,377,446 | FHLM ARM 6.12% 9/37 #1G2201 |
1,461,136 | ||||||
1,819,673 | FHLM ARM 5.65% 9/37 #1G3704 |
1,906,994 |
46
Shares or | ||||||||
Units | Description | Current Value | ||||||
U.S. Government and Agency Securities (continued) |
||||||||
Federal Agency Obligations (continued) |
||||||||
Federal Home Loan Mortgage Corporation (continued) |
||||||||
1,930,000 | FHLMC 4.375 1/25/10 |
$ | 1,934,661 | |||||
349,085 | FHLG 5.50% 11/35 #A39302 |
367,085 | ||||||
392,000 | FHLMCDN 0% 1/25/10 |
391,995 | ||||||
Total Federal Home Loan Mortgage Corporation |
12,836,508 | |||||||
Total U.S. Government and Agency Securities |
116,360,340 | |||||||
Other Fixed Income Securities |
||||||||
Domestic and Foreign Obligations |
||||||||
440,000 | AB INBEV MTN 5.375% 1/20 144A |
448,914 | ||||||
680,000 | ABBOTT LABS 5.125% 4/01/19 |
711,258 | ||||||
1,900,000 | ACHMEA HYPT 3.2% 11/03/14 144A |
1,896,322 | ||||||
125,000 | AES CORP 7.75% 10/15/15 |
126,875 | ||||||
106,000 | AES CORP 7.75% 3/01/14 |
107,590 | ||||||
690,000 | AES CORP 8% 10/15/17 |
705,525 | ||||||
718,000 | AES CORP 8% 6/1/20 |
730,565 | ||||||
220,000 | AGFC CAP TR I 6%/VAR 1/67 144A |
77,000 | ||||||
160,000 | AIG 6.25% 87-37 HYBRD |
88,000 | ||||||
334,000 | AIG INTL MTN 8.25% 8/15/18 |
313,576 | ||||||
397,000 | ALCOA INC 6% 7/15/13 |
418,213 | ||||||
260,000 | ALTRIA GROUP INC 8.5% 11/13 |
300,464 | ||||||
190,000 | AMER GENL FIN MTN 6.9 12/15/17 |
131,927 | ||||||
84,000 | AMERADA HES CO 7.875% 10/01/29 |
100,746 | ||||||
342,000 | AMERADA HESS CO 7.3% 8/15/31 |
388,644 | ||||||
169,000 | AMERICA MOVIL 5.625% 11/15/17 |
174,972 | ||||||
50,000 | AMERICAN EXP MTN 5.125 8/25/14 |
52,687 | ||||||
49,000 | AMERICAN EXP MTN 5.875% 5/13 |
52,585 | ||||||
77,000 | AMERICAN INTL 5.85% 1/16/18 |
63,181 | ||||||
293,000 | AMEX 6.8% 9/01/66 |
262,235 | ||||||
820,000 | AMEX MTN 8.125% 5/20/19 |
971,750 | ||||||
341,000 | APACHE CORP 6% 9/15/13 |
377,323 | ||||||
167,000 | AT&T INC 5.5% 2/01/18 |
174,250 |
47
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
190,000 | AT&T INC 5.8% 2/15/19 |
$ | 202,533 | |||||
370,000 | AT&T INC 6.55% 2/15/39 |
389,855 | ||||||
341,000 | BAC 8% PERP SERIES K PFD |
329,065 | ||||||
14,000 | BAC CAP XIV 5.63/VR PERP |
9,660 | ||||||
467,000 | BAKER HUGHES IN 7.5% 11/15/18 |
557,450 | ||||||
28,000 | BANKAMER 8.125%/VAR PERP |
27,020 | ||||||
300,000 | BARCLAYS BANK MTN 5.2% 7/10/14 |
318,002 | ||||||
140,000 | BARCLAYS BK 6.05% 12/4/17 144A |
142,478 | ||||||
170,000 | BARRICK GOLD 6.95% 4/01/19 |
191,410 | ||||||
147,000 | BEAR 7.25% 2/01/18 |
168,734 | ||||||
21,000 | BELLSOUTH 4.75 11/15/12 |
22,424 | ||||||
540,000 | BHP BILLITON FIN USA 6.5 4/1/19 |
619,411 | ||||||
190,000 | BOEING CAP MTN 4.7% 10/27/19 |
185,362 | ||||||
120,000 | BOEING CO 4.875% 2/15/20 |
120,325 | ||||||
200,000 | BOEING CO MTN 6% 3/15/19 |
217,033 | ||||||
98,000 | BOYD GAMING 7.125% 2/01/16 |
85,260 | ||||||
35,000 | BOYD GAMING CORP 6.75% 4/15/14 |
31,544 | ||||||
620,000 | C 6.5 08/13 SNR DT |
660,420 | ||||||
190,000 | CALPINE CONSTR 8% 6/01/16 144A |
195,700 | ||||||
495,000 | CATERPILR FIN SERV 6.2 9/30/13 |
551,601 | ||||||
(840,334 | ) | CDS- ABX 37YR 5/25/46 SWAP |
(626,049 | ) | ||||
840,334 | CDS- ABX 37YR 5/25/46 SWAP |
840,334 | ||||||
400,000 | CDS SLMA @ 100BPS 5YR |
378,127 | ||||||
(400,000 | ) | CDS SLMA @ 100BPS 5YR SHORT |
(400,000 | ) | ||||
2,701,402 | CDS-ABX @18 BPS 37.4YR 7/25/45 |
2,208,396 | ||||||
(2,701,402 | ) | CDS-ABX @18 BPS 37.4YR 7/25/45 |
(2,701,402 | ) | ||||
(609,994 | ) | CDS-ABX 18 BPS 37.4YR 7/25/45 |
(609,994 | ) | ||||
609,995 | CDS-ABX@18 BPS 37.4YR 7/25/45 |
498,671 | ||||||
(2,004,266 | ) | CDS-ABX.HE.AAA.06-1 37.6 SWAP SHORT |
(2,004,266 | ) | ||||
2,004,266 | CDS-ABX.HE.AAA.06-1 37.6 SWAP |
1,638,488 | ||||||
1,687,291 | CDS-ABX@11 BPS 38.2YR 5/25/46 |
771,936 | ||||||
(1,687,291 | ) | CDS-ABX@11 BPS 38.2YR 5/25/46 |
(1,687,291 | ) | ||||
435,710 | CDS-ABX@18 BPS 37.4YR 7/25/45 |
356,193 | ||||||
261,426 | CDS-ABX@18 BPS 37.4YR 7/25/45 |
213,716 | ||||||
(435,710 | ) | CDS-ABX@18 BPS 37.4YR 7/25/45 |
(435,710 | ) | ||||
(261,426 | ) | CDS-ABX@18 BPS 37.4YR 7/25/45 |
(261,426 | ) |
48
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
174,284 | CDS ABX.HE.AAA.06-1 |
$ | 142,477 | |||||
(174,284 | ) | CDS ABX.HE.AAA.06-1 |
(174,284 | ) | ||||
6,439,977 | CDSCDXNAUGHVOL9@485 12/12 SWP |
6,174,240 | ||||||
(6,439,977 | ) | CDSCDXNAUGHVOL9@485 12/12 SWP |
(6,439,977 | ) | ||||
91,000 | CHESAPEAKE ENER 6.25% 1/15/18 |
87,360 | ||||||
150,000 | CHESAPEAKE ENERGY 7.25% 12/18 |
151,500 | ||||||
683,000 | CITIGROUP 5% 9/15/14 |
658,428 | ||||||
200,000 | CITIGROUP 6.375% 8/12/14 |
209,381 | ||||||
564,000 | CITIGROUP 6.875% 3/05/38 |
562,882 | ||||||
320,000 | CITIGROUP INC MTN 8.5% 5/22/19 |
369,521 | ||||||
610,000 | CITIGROUP MTN 6.01% 1/15/15 |
622,870 | ||||||
220,000 | CITIGROUP MTN 5.5% 10/15/14 |
222,757 | ||||||
24,000 | CITIZCOM 7.125% 3/15/19 |
22,680 | ||||||
195,000 | COMCAST CABLE 8.875% 5/01/17 |
233,633 | ||||||
697,000 | COMCAST CORP 6.5% 1/15/15 |
780,887 | ||||||
28,000 | COMCAST CORP 6.5% 1/15/17 |
30,998 | ||||||
63,000 | COMCAST CORP GLB 5.875 2/15/18 |
66,880 | ||||||
130,000 | COMMNWLTH BNK AUST 5 10/19 144 |
129,068 | ||||||
132,000 | COMMUNITY HLTH 8.875 7/15/15 |
136,620 | ||||||
122,000 | COMPLETE PRODTN 8% 12/15/16 |
119,865 | ||||||
300,000 | COMWLTH BK AUS 3.75 10/14 144A |
300,730 | ||||||
247,000 | CONOCO 6.95% 4/15/29 |
279,986 | ||||||
320,000 | CONOCOPHILLIPS 6% 1/15/20 |
354,565 | ||||||
550,000 | CONOCOPHILLIPS 6.5% 2/01/39 |
610,413 | ||||||
660,000 | CREDIT AG MTN VAR PERP 144A |
699,600 | ||||||
190,000 | CREDIT SUISSE 5.86/VAR PERP |
165,300 | ||||||
165,000 | CRICKET COMM 7.75% 5/15/16 WI |
165,000 | ||||||
435,234 | CVS CAREMARK 6.943% 1/10/30 |
437,519 | ||||||
580,000 | CVS/CAREMARK MTN 6.6% 3/15/19 |
634,688 | ||||||
279,000 | DAIMBZNA 5.875% 3/15/11 |
291,715 | ||||||
80,000 | DAVITA INC 7.25% 3/15/15 |
80,200 | ||||||
202,000 | DEUTSCHE TK GLBL 5.75% 3/23/16 |
214,494 | ||||||
725,000 | DIAGEO CPTL PLC 7.375% 1/15/14 |
838,689 | ||||||
125,000 | DISH DBS CORP 7.875% 9/01/19 |
130,000 | ||||||
509,000 | DOMINION RES DE 5.7% 9/17/12 |
550,030 | ||||||
260,000 | DOMINION RESOUR 8.875% 1/15/19 |
324,016 | ||||||
167,000 | DUKE ENERGY 5.625% 11/30/12 |
182,315 |
49
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
185,000 | DYNEGY HLDGS INC 7.75% 6/01/19 |
$ | 160,488 | |||||
105,000 | ECHOSTAR DBS 7.75% 5/31/15 |
110,250 | ||||||
7,000 | ECHOSTAR DBS CORP 7% 10/01/13 |
7,210 | ||||||
45,000 | EDISON MISSION 7% 5/15/17 |
35,550 | ||||||
139,000 | EDISON MISSION 7.2% 5/15/19 |
104,598 | ||||||
56,000 | EDISON MISSION 7.625 5/27 |
37,520 | ||||||
60,000 | EDISON MISSION 7.75% 6/15/16 |
51,000 | ||||||
613,000 | EL PASO CORP 7% 6/15/17 |
607,969 | ||||||
125,000 | EL PASO ENERGY MTN 7.8% 8/1/31 |
118,125 | ||||||
91,000 | EL PASO ENGY MTN 7.75% 1/15/32 |
86,051 | ||||||
460,000 | EL PASO NAT GAS 8.375% 6/15/32 |
546,286 | ||||||
310,000 | ENERGY TRANSFER 9% 4/15/19 |
369,513 | ||||||
670,000 | ENTERPRISE PRD 9.75% 1/31/14 |
799,630 | ||||||
338,000 | EXELON CORP 5.625% 6/15/35 |
305,648 | ||||||
1,786,000 | FARMER MAC 7-1 5.125 4/17 144A |
1,861,264 | ||||||
13,000 | FIRSTENERGY 6.45% 11/15/11 |
13,939 | ||||||
981,000 | FIRSTENERGY GL 7.375 11/15/31C |
1,063,308 | ||||||
202,000 | FMC FINANCE III 6.875% 7/15/17 |
200,485 | ||||||
606,000 | FORD MOTOR CRD LLC 12% 5/15/15 |
705,990 | ||||||
40,000 | FORD MTR CR 7.5% 8/01/12 |
40,400 | ||||||
174,000 | FREEPORT MCMOR 8.375% 4/01/17 |
190,530 | ||||||
725,000 | GE CAP CORP 11/15/67 |
628,938 | ||||||
20,000 | GE CAP CORP 6% 8/07/19 |
20,760 | ||||||
170,000 | GECAP MTN 5.9% 5/13/14 |
183,782 | ||||||
1,470,000 | GECAP MTN 6.875% 1/10/39 |
1,518,047 | ||||||
66,000 | GENERALE DS GEO 7.75 5/17 |
65,505 | ||||||
94,000 | GEOPHYSIQUE CIE 7.5% 5/15/15 |
93,060 | ||||||
411,000 | GLITNIR 3ML+273.25 6/16 144A |
41 | ||||||
279,000 | GLITNIR BK MTN 6.33% 7/11 144A |
58,590 | ||||||
1,672,000 | GM 8.25% 7/15/23 |
443,080 | ||||||
21,000 | GM GLBL 8.375 7/15/33 DT |
5,670 | ||||||
975,000 | GMAC LLC 6.625% 5/15/12 144A |
955,500 | ||||||
116,000 | GMAC LLC 7.5% 12/31/13 144A |
113,100 | ||||||
85,000 | GMAC LLC 8% 12/31/18 144A |
75,650 | ||||||
251,000 | GOLDMAN SACHS 4.5% 6/15/10 |
255,524 | ||||||
98,000 | GOLDMAN SACHS GR 5.45% 11/1/12 |
105,368 | ||||||
600,000 | GOLDMAN SACHS GROUP 6% 5/14 DT |
656,261 |
50
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
21,000 | GS 5.793% PERP-12 |
$ | 16,275 | |||||
120,000 | HBOS PLC 5.25% 2/21/17 144A |
118,998 | ||||||
277,000 | HCA INC 5.75% 3/15/14 |
259,341 | ||||||
174,000 | HCA INC 6.25% 2/15/13 |
169,215 | ||||||
8,000 | HCA INC 6.3% 10/01/12 |
8,000 | ||||||
28,000 | HCA INC 9.125% 11/15/14 |
29,540 | ||||||
216,000 | HCA INC 9.25% 11/15/16 |
231,660 | ||||||
39,000 | HCA INC 9.625% 11/15/16 |
42,218 | ||||||
440,000 | HERTZ 2009-2A A2 5.29% 3/16 |
439,007 | ||||||
560,000 | HESS CORP 8.125% 2/15/19 |
675,336 | ||||||
160,000 | ICICI BK 6.375/VAR 4/22 REGS |
143,634 | ||||||
244,000 | ICICI BK LTD 6.375/VAR4/22 144 |
219,042 | ||||||
100,000 | ILFC ECAP TR II 6.25 12/65 144 |
51,500 | ||||||
21,000 | INN OF MOUNT 12% 11/15/10 |
8,689 | ||||||
90,000 | INTELSAT CORP 9.25% 8/15/14 |
92,250 | ||||||
90,000 | INTELSAT JACKSN 8.5 11/19 144A |
91,913 | ||||||
21,000 | INTELSAT JACKSON 9.5% 6/15/16 |
22,523 | ||||||
1,700,000 | IR SWAP CMS 10 YR 11/08/10 |
1,702,410 | ||||||
(1,700,000 | ) | IR SWAP CMS 10 YR 11/08/10 |
(1,700,000 | ) | ||||
(7,400,000 | ) | IR SWAP CMS 10 YR 12/31/19 |
(7,400,000 | ) | ||||
7,400,000 | IR SWAP CMS 10 YR 12/31/19 |
7,406,859 | ||||||
961,000 | JP MORGAN CHASE 5.125% 9/15/14 |
1,013,627 | ||||||
320,000 | JP MORGAN CHASE 6.125% 6/27/17 |
338,232 | ||||||
1,500,000 | JPM INT RATE SWAP PAY FWD |
1,499,267 | ||||||
(1,500,000 | ) | JPM INT RATE SWAP PAY FWD |
(1,438,539 | ) | ||||
502,000 | JPMORGAN CHASE 5.15% 10/01/15 |
519,844 | ||||||
145,000 | KANSAS CTY SOUT 12.5% 4/1/16 |
166,750 | ||||||
120,000 | KAUPTHING BK 5.75 10/4/11 144A |
29,700 | ||||||
1,177,000 | KAUPTHING BK 7.625% 2/28/15 |
291,308 | ||||||
130,000 | KAUPTHING MTN 7.125% 5/19 144A |
13 | ||||||
1,324,000 | KERR-MCGEE CORP 7.875% 9/15/31 |
1,544,228 | ||||||
320,000 | KERR-MCGEE GLBL 6.95 7/1/24 |
346,556 | ||||||
230,000 | KINDER MORGAN 6.75% 3/15/11 |
243,233 | ||||||
63,000 | KINDER MORGAN EN 5.85 9/15/12 |
67,799 | ||||||
397,000 | KINDER MORGAN EN 6.95% 1/15/38 |
423,108 | ||||||
334,000 | KINDER MORGAN ENER 6% 2/1/17 |
350,671 | ||||||
362,000 | KPN NV GLBL 8.375% 10/01/30 |
453,577 |
51
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
100,000 | L-3 COMM 6.375% 10/15/15 |
$ | 100,375 | |||||
14,000 | LAMAR MEDIA 6.625% 8/15/15 |
13,440 | ||||||
641,000 | LANDSBANKI IS MTN 6.1% 8/25/11 |
28,845 | ||||||
369,000 | LEH 5.857% PERP-12 |
111 | ||||||
181,000 | LEHMAN BR MTN 5.25% 2/6/12 |
35,295 | ||||||
220,000 | LEHMAN BROS 3ML+78 8/19/65 |
66 | ||||||
390,000 | LEHMAN BROS HLD 6.75% 12/28/17 |
117 | ||||||
84,000 | LEVEL 3 FIN 9.25% 11/1/14 |
79,380 | ||||||
280,000 | METLIFE INC 6.75% 6/1/16 |
313,555 | ||||||
801,000 | METLIFE INC GLB 6.4 12/15/36 |
700,875 | ||||||
671,000 | MEXICO GVT GLB 6.75 9/27/34 EC |
707,905 | ||||||
5,000 | MGM MIRAGE 10.375% 05/14 144A |
5,450 | ||||||
20,000 | MGM MIRAGE 11.125% 11/17 144A |
22,100 | ||||||
35,000 | MGM MIRAGE INC 6.625% 7/15/15 |
27,300 | ||||||
50,000 | MGM MIRAGE INC 7.625% 1/15/17 |
38,750 | ||||||
169,453 | MLMI 2006-A1 1A1 CSTR 3/36 |
103,276 | ||||||
110,000 | MORGAN STLY FRN 5.82% 10/18/16 |
101,893 | ||||||
509,000 | MORGAN STLY MTN 5.625% 1/09/12 |
537,159 | ||||||
190,000 | MUFG CAP FIN 6.346/VR PERP DT |
172,928 | ||||||
21,000 | NEWS AMER INC 6.65% 11/37 |
22,182 | ||||||
42,000 | NEWS AMERICA INC 6.2% 12/15/34 |
42,211 | ||||||
1,310,000 | NIBC BANK MTN 2.8 12/2/14 144A |
1,274,737 | ||||||
330,000 | NOBLE ENERGY IN 8.25% 3/01/19 |
394,806 | ||||||
430,000 | NORDEA BK MTN 3.7% 11/14 144A |
429,171 | ||||||
130,000 | NRG ENERGY INC 7.25% 2/01/14 |
131,950 | ||||||
15,000 | NRG ENERGY INC 7.375% 1/15/17 |
15,038 | ||||||
50,000 | NRG ENERGY INC 7.375% 2/1/16 |
50,000 | ||||||
592,000 | OCCIDENTAL PETE 7% 11/01/13 |
678,167 | ||||||
111,000 | OPTI CDA INC 7.875% 12/14 |
91,020 | ||||||
84,000 | OPTI CDA INC 8.25% 12/15/14 |
69,510 | ||||||
105,000 | PACIFIC GAS & ELEC 5.8% 3/1/37 |
106,418 | ||||||
8,000 | PEABODY ENERGY 6.875% 3/15/13 |
8,090 | ||||||
95,000 | PEMEX PRO FDG 6.625% 6/15/35 |
90,454 | ||||||
348,000 | PEPSICO INC 7.9% 11/01/18 |
427,085 | ||||||
132,000 | PETROBRAS INTL 5.75% 1/20/20 |
134,282 | ||||||
210,000 | PETROBRAS INTL 6.125% 10/06/16 |
225,225 | ||||||
470,000 | PFIZER 6.2% 3/15/19 |
522,462 |
52
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
244,000 | PG&E 6.05% 3/01/34 |
$ | 254,744 | |||||
105,000 | PG&E 8.25% 10/15/18 |
128,210 | ||||||
73,000 | QWEST COMM 7.5% 2/15/14 |
73,274 | ||||||
295,000 | RABOBANK MTN 11%/VAR PERP 144A |
359,680 | ||||||
234,000 | RAILAMERICA 9.25% 7/01/17 |
248,918 | ||||||
362,000 | REALOGY CORP 12.375% 4/15/15 |
281,455 | ||||||
290,000 | REED ELSEVIER C 8.625% 1/15/19 |
352,863 | ||||||
300,000 | RESONA PFD 7.191/VR PERP 144AEC |
245,379 | ||||||
120,000 | REYNOLDS AMER GLB 7.25 6/1/12 |
131,918 | ||||||
153,000 | REYNOLDS AMERN 6.75% 6/15/17 |
158,448 | ||||||
285,000 | REYNOLDS GRP 7.75 10/15/16 144 |
291,783 | ||||||
467,000 | RIO TINTO FIN 6.5% 7/15/18 |
512,990 | ||||||
670,000 | RIO TINTO FIN 9% 5/01/19 |
859,941 | ||||||
63,000 | RIVER ROCK 9.75% 11/01/11 |
59,378 | ||||||
270,000 | ROCHE HLDGS INC 6 3/19 144A DT |
296,690 | ||||||
63,000 | ROGERS CABLE 6.75 3/15/15 |
71,224 | ||||||
30,000 | ROGERS COMMUNIC 6.8% 8/15/18 |
33,598 | ||||||
100,000 | ROYAL BK SCOT 7.64/VR PERP |
54,000 | ||||||
390,000 | ROYAL BK SCOTLAND 5 10/1/14 |
344,668 | ||||||
20,000 | ROYAL BK SCT YANK 6.375 2/1/11 |
20,056 | ||||||
520,000 | ROYAL BK SCTLND 6.4% 10/21/19 |
518,331 | ||||||
140,000 | ROYAL BK SCTLND GLB 5 11/12/13 |
126,000 | ||||||
160,000 | ROYAL BK SCTLND GLB5.05 1/8/15 |
138,794 | ||||||
1,322,580 | RUSSIAN FD STP CPN 3/31/3 |
1,491,209 | ||||||
25,000 | SANDRDGE ENRGY 8.75% 1/20 144A |
25,000 | ||||||
165,000 | SANDRIDGE ENRGY 9.875% 5/16144 |
173,663 | ||||||
300,000 | SANTANDER 5.805/VAR 6/20/16 |
279,000 | ||||||
279,000 | SBC COMM GLBL 5.1 9/15/14 |
300,109 | ||||||
42,000 | SERVICE CO INT 7.625% 10/01/18 |
41,580 | ||||||
84,000 | SERVICE CO INTL 7.5% 4/1/27 |
74,760 | ||||||
310,000 | SHELL INTL FIN 6.375% 12/15/38 |
349,487 | ||||||
348,000 | SHINSEI 6.418%/VAR PERP 144A |
202,710 | ||||||
240,000 | SLM CORP MEDIUM FRN 4/01/14 |
179,026 | ||||||
14,000 | SLM CORP MTN 5 4/15/15 |
12,196 | ||||||
435,000 | SLM CORP MTN 5% 10/01/13 |
400,174 | ||||||
84,000 | SLM CORP MTN 5.05 11/14/14 |
75,766 | ||||||
749,000 | SLM CORP MTN 5.375 5/15/14 |
690,855 |
53
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
66,000 | SLM CORP MTN 5.625% 8/01/33 A |
$ | 49,761 | |||||
63,000 | SOUTHRN NAT GAS 5.9% 4/1/17 |
64,697 | ||||||
21,000 | SOUTHRN NAT GAS 8% 3/01/32 |
24,149 | ||||||
341,000 | SPRINT CAP CORP 8.375% 3/15/12 |
352,935 | ||||||
63,000 | STATION CASINOS 6% 4/01/12 |
9,529 | ||||||
84,000 | STATION CASINOS INC 7.75% 8/16 |
13,125 | ||||||
101,000 | STEEL DYN INC 6.75% 4/15 |
100,243 | ||||||
31,000 | STEEL DYNAMICS 7.375% 11/1/12 |
32,008 | ||||||
45,000 | SUBURBAN PROP 6.875 12/15/13 |
45,000 | ||||||
42,000 | SUN MEDIA CORP 7.625% 2/15/13 |
38,220 | ||||||
174,000 | SUNTRUST VIII 6.1%/VAR 12/1/66 |
121,194 | ||||||
360,000 | TEACHERS INS 6.85% 12/16/39144 |
372,146 | ||||||
15,000 | TECK RESOURCES 10.25% 5/16 |
17,044 | ||||||
35,000 | TECK RESOURCES 10.75% 5/19 |
40,950 | ||||||
20,000 | TECK RESOURCES 9.75% 5/14 |
23,125 | ||||||
28,000 | TEEKAY SHIPPNG 8.875% 7/15/11 |
29,015 | ||||||
320,000 | TELECOM ITALI 5.25% 10/01/15 |
334,575 | ||||||
244,000 | TELECOM ITALI 6.999% 6/4/18 |
268,471 | ||||||
80,000 | TENET HEALTH 10% 5/01/18 144A |
89,600 | ||||||
40,000 | TENET HEALTH 9% 5/01/15 144A |
43,100 | ||||||
111,000 | TENET HEALTH 9.25% 2/01/15 |
117,660 | ||||||
49,000 | TENN GAS PIPELI 7.625% 4/01/37 |
55,028 | ||||||
100,000 | TNK BP FI MTN 6.625% 3/17 144A |
97,750 | ||||||
193,000 | TNK-BP FIN MTN 7.5% 7/16 144A |
197,825 | ||||||
536,000 | TRAVELERS COS 6.25/VAR 3/15/67 |
488,291 | ||||||
300,000 | TXU CORP 5.55% 11/15/14 |
212,759 | ||||||
31,000 | TXU CORP 6.5% 11/15/24 |
14,561 | ||||||
387,000 | TXU CORP 6.55% 11/15/34 |
179,421 | ||||||
62,921 | TXU ENRGY PIK 12.00 11/17 |
42,765 | ||||||
989,000 | TYCO INTL GRP 6% 11/15/13 |
1,083,335 | ||||||
370,000 | UNITEDHEALTH GRP 6 2/15/18 |
382,191 | ||||||
1,600,000 | US CNTRL FED CU 1.9% 10/19/12 |
1,598,749 | ||||||
376,000 | VALE OVERSEAS 6.875% 11/21/36 |
375,685 | ||||||
272,000 | VEDANTA RES 8.75% 1/15/14 144A |
275,125 | ||||||
84,000 | VENTAS REALTY GLBL 9% 5/01/12 |
87,780 | ||||||
14,000 | VERIZON COM INC 5.5% 2/15/18 |
14,610 | ||||||
202,000 | VERIZON GLBL 7.375% 9/01/12 |
227,698 |
54
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Domestic and Foreign Obligations (continued) |
||||||||
376,000 | VERIZON NEW YOR 6.875% 4/01/12 |
$ | 409,094 | |||||
370,000 | VERIZON WIRELESS 8.5% 11/15/18 |
458,941 | ||||||
1,017,000 | WACHOVIA 5.25% 8/14 LT2 |
1,052,860 | ||||||
488,000 | WASTE MANAGMENT 6.375 11/15/12 |
536,855 | ||||||
272,000 | WB 5.8% 49-11 T1 |
208,080 | ||||||
160,000 | WELLPOINT INC 7% 2/15/19 |
178,948 | ||||||
28,000 | WELLPOINT INC GLB5.875 6/15/17 |
28,847 | ||||||
676,000 | WELLS FARGO 9.75/3ML+583 PERP |
723,320 | ||||||
230,000 | WELLS FARGO CAP 5.95% 12/15/36 |
200,100 | ||||||
24,000 | WESTLAKE CHEM 6.625% 1/15/16 |
22,950 | ||||||
230,000 | WILLIAMS COS 7.75% 6/15/31 |
252,222 | ||||||
216,000 | WILLIAMS COS 7.875% 9/01/21 |
247,320 | ||||||
28,000 | WILLIAMS COS 8.75% 3/15/32 |
33,460 | ||||||
641,000 | WILLIAMS COS GLB 7.5% 1/15/31 |
691,468 | ||||||
115,000 | WINDSTREAM 8.625% 8/01/16 |
117,013 | ||||||
320,000 | WPP FIN UK GTD SR NT8% 9/15/14 |
363,923 | ||||||
334,000 | WYETH 5.95% 4/01/37 |
348,288 | ||||||
443,000 | XTO ENERGY INC 6.5% 12/15/18 |
506,216 | ||||||
84,000 | XTO ENERGY INC 7.5% 4/15/12 |
93,663 | ||||||
Total Domestic and Foreign Obligations |
74,872,265 | |||||||
Mortgage Related Securities |
||||||||
52,980 | ACE 05-SD2 A1 1ML+40 8/40 |
52,286 | ||||||
681,747 | ACE 06-SL3 A1 1ML+10 6/36 |
75,532 | ||||||
803,920 | AHM 05-4 1A1 1ML+29 3/35 |
441,450 | ||||||
800,000 | BACM 05-5 A4 5.115 10/45 |
784,154 | ||||||
1,609,000 | BACM 05-6 A4 5.182 9/47 |
1,580,169 | ||||||
40,000 | BACM 2007-5 A3 5.62 2/51 |
38,822 | ||||||
409,277 | BAYV 04-C A1 1ML+42 5/44 |
365,953 | ||||||
895,251 | BSARM 04-10 12A3 CSTR 1/35 |
735,169 | ||||||
664,078 | BALTA 04-9 3A1 CSTR 9/34 |
505,572 | ||||||
546,916 | BALTA 05-2 2A4 CSTR 4/35 |
354,372 | ||||||
495,946 | BSABS 05-SD4 2A1 1ML+40 2/35 |
380,777 | ||||||
1,451,401 | BSABS 05-AQ2 A3 1ML+36 9/35 |
1,169,216 | ||||||
667,772 | BSABS 05-CL1 A1 1ML+50 9/34 |
520,918 | ||||||
1,694,683 | CWALT 05-36 2A1A 1ML+31 8/35 |
748,619 | ||||||
850,131 | CWALT 05-36 3A1 CSTR 8/35 |
546,400 |
55
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Mortgage Related Securities (continued) |
||||||||
397,513 | CWHEL 06-B 2A 1ML+17 5/36 |
$ | 148,545 | |||||
503,467 | CWALT 05-J12 2A1 1ML+27 8/35 |
253,198 | ||||||
272,361 | CWALT 05-61 1A1 1ML+26 12/35 |
150,751 | ||||||
1,061,739 | CWALT 06-OA6 1A1A 1ML+21 6/46 |
523,592 | ||||||
593,013 | CWHL 06-HYB3 2A1A CSTR 6/36 |
391,503 | ||||||
134,069 | CWALT 06-OA1 2A1 1ML+21 3/46 |
65,615 | ||||||
192,352 | CWHL 04-23 A CSTR 11/34 |
111,954 | ||||||
342,619 | CMLTI 05-HE2 A 1ML+40 5/35 |
285,625 | ||||||
1,321,466 | CWHEL 07-GW A FSA 1ML+55 8/37 |
848,215 | ||||||
182,949 | DELTA AIR 6.821% 8/22 |
173,572 | ||||||
316,852 | DMSI 2004-4 7AR2 1ML+45 6/34 |
235,700 | ||||||
110,315 | FHAMS 2006-FA8 1A8 0 2/37 |
54,541 | ||||||
500,000 | GECMC 07-C1 A4 5.54% 12/49 |
405,576 | ||||||
1,304,041 | GMACM 05-AR6 2A1 CSTR 11/35 |
1,019,663 | ||||||
1,262,383 | GMACM 04VF1 A1 MBIA1ML+75 2/31 |
692,771 | ||||||
335,497 | GSR 05-AR5 2A3 CSTR 10/35 |
272,769 | ||||||
817,216 | GSMPS 05-RP1 1AF 1ML+35 1/35 |
635,999 | ||||||
1,500,000 | HVMLT 2004-5 2A6 CSTR 6/34 |
1,295,964 | ||||||
418,711 | HVMLT 05-15 2A11 1ML+27 10/45 |
221,963 | ||||||
603,629 | HVMLT 06-13 A 1ML+18 11/19/46 |
287,764 | ||||||
683,576 | IMSA 05-2 A1 1ML+32 3/36 |
263,186 | ||||||
237,953 | IMSA 2006-1 1A2B 1ML+20 5/36 |
64,538 | ||||||
1,447,747 | INDX 05-AR14 2A1A 1ML+30 7/35 |
825,526 | ||||||
219,015 | INDX 06-AR6 2A1A 1ML+20 6/47 |
112,315 | ||||||
729,112 | INDA 07-AR7 1A1 CSTR 11/25/37 |
528,649 | ||||||
400,000 | JPMMT 04-A3 3A3 CSTR 7/34 |
299,737 | ||||||
300,000 | JPMCC 07-LDPX A3 5.412 5/49 |
253,067 | ||||||
1,295,695 | LXS 06-14N 1A1B 1ML+21 9/46 |
518,884 | ||||||
1,317,000 | MLCFC 2007-6 A4 CSTR 3/51 |
1,071,356 | ||||||
462,631 | MARM 05-1 7A1 CSTR 2/35 |
316,929 | ||||||
566,095 | MARM 06-2 3A1 CSTR 1/36 |
456,251 | ||||||
979,430 | MARP 05-2 1A1F 1ML+35 5/35 |
777,295 | ||||||
384,642 | MLCC 03-F A1 1ML+32 10/28 |
316,160 | ||||||
400,000 | MERNA 07-1-B 3ML+175 6/30/12 |
394,040 | ||||||
408,312 | MLMI 04-A3 4A3 CSTR 5/34 |
375,549 | ||||||
1,277,383 | MLMI 07-SD1 A1 1ML+45 2/47 |
489,199 | ||||||
655,000 | MLMT 06-C1 A4 CSTR 5/39 |
640,122 |
56
Shares or | ||||||||
Units | Description | Current Value | ||||||
Other Fixed Income Securities (continued) |
||||||||
Mortgage Related Securities (continued) |
||||||||
32,610 | MSM 05-3AR 3A CSTR 7/35 |
$ | 23,160 | |||||
362,000 | NSLT 2008-4 A4 1ML+148 4/24 |
378,373 | ||||||
336,089 | PRIME 05-2 2A1 CSTR 10/32 |
294,918 | ||||||
589,041 | RBSGC 2007-B 1A4 1ML+45 1/37 |
312,818 | ||||||
997,277 | RALI 05-QA13 2A1 CSTR 12/35 |
416,658 | ||||||
549,123 | SACO 05-WM3 A3 1ML+35 9/35 |
137,637 | ||||||
799,800 | SAMI 06-AR6 1A1 1ML+18 12/35 |
444,402 | ||||||
1,519,440 | SASC 2007-TC1 A 1ML+30 4/31 |
1,027,593 | ||||||
180,000 | UAL PASS THRU ETC 9.75% 1/17 |
184,950 | ||||||
923,105 | WAMU 05-AR15 A1A1 1ML+26 11/45 |
669,425 | ||||||
760,227 | WAMU 05-AR15 A1A2 1ML+28 11/45 |
466,150 | ||||||
393,725 | WAMU 05-AR17 A1A2 1ML+29 12/45 |
274,497 | ||||||
2,000,000 | WAMU 2005-AR18 1A3A CSTR 1/36 |
1,527,720 | ||||||
1,025,761 | WAMU 05-AR7 A4 CSTR 8/35 |
864,907 | ||||||
154,598 | WAMU 05-AR8 1A1A 1ML+27 7/45 |
108,470 | ||||||
390,594 | WAMU 04-AR8 A1 1ML+42 6/44 |
264,991 | ||||||
465,637 | WAMU 05-AR9 A1A 1ML+32 7/45 |
296,751 | ||||||
672,615 | WAMU 07-HY4 4A1 CSTR 9/25/36 |
496,055 | ||||||
1,200,000 | WAMU 06-AR14 1A3 CSTR 11/36 |
802,570 | ||||||
1,110,000 | WFMBS 2006-AR11 A6 CSTR 8/36 |
891,684 | ||||||
Total Mortgage Related Securities |
33,961,221 | |||||||
Other Agency Obligations |
||||||||
250,000 | CA ST 7.3% 10/01/39 |
235,465 | ||||||
467,000 | TVA 5.98% 4/1/36 |
496,476 | ||||||
240,000 | TVA 5.25% 9/15/39 |
236,041 | ||||||
Total Other Agency Obligations |
967,982 | |||||||
Total Other Fixed Income Securities |
109,801,468 | |||||||
Cash, Cash Equivalents and Other Investments |
||||||||
Cash |
(2,927,794 | ) | ||||||
3,930,000 | SWAP CASH COLLATERAL |
3,930,000 | ||||||
7,904,838 | State Street Bank Government Short Term Investment Fund* |
7,904,838 | ||||||
30,843,708 | State Street Bank Short Term Investment Fund* |
30,843,708 | ||||||
6,417,817 | Fidelity Institutional Money Market Portfolio* |
6,476,817 | ||||||
92 | EURO$ 90 DAY FUT DEC 11 EDZ1 |
(18,400 | ) |
57
Shares or | ||||||||
Units | Description | Current Value | ||||||
Cash, Cash Equivalents and Other Investments (continued) |
||||||||
(92 | ) | EURO$ 90 DAY FUT DEC 10 EDZ0 |
$ | 14,950 | ||||
(97 | ) | UST 20YR FUT MAR10 USH0 |
48,500 | |||||
48 | US 10YR NOTE FUT MAR10 TYH0 |
(18,750 | ) | |||||
5 | UST 2YR FUT MAR10 TUH0 |
(938 | ) | |||||
124 | UST 5YR FUT MAR10 FVH0 |
(35,844 | ) | |||||
(3,650,000 | ) | SWAPTION RECEIVER 4.7 8/27/09 |
(117,241 | ) | ||||
(3,650,000 | ) | SWAPTION PAYER 4.7 8/27/14 |
(184,318 | ) | ||||
(1,110,000 | ) | SWAPTION PAYER 4.7 9/2/14 |
(56,067 | ) | ||||
(1,110,000 | ) | SWAPTION RECEIVER 4.7 9/2/14 |
(35,649 | ) | ||||
(67 | ) | EURO$ 90 DAY FUT MAR10 PUT 3/10 EDH0P 99.125 |
(1,675 | ) | ||||
(42 | ) | EURO$ 90 DAY FUT MAR10 CAL 3/10 EDH0C 99.50 |
(18,638 | ) | ||||
(76 | ) | EURO$ 90 DAY EDM0 PUT 6/14/10 EDM0P 99.375 |
(41,800 | ) | ||||
(76 | ) | EURO$ 90 DAY EDM0 CAL 6/14/10 EDM0C 99.375 |
(31,350 | ) | ||||
(3,400,000 | ) | SWAPTION PAYER 3.73 2/14/10 |
(103,343 | ) | ||||
(3,400,000 | ) | SWAPTION RECEIVER 3.73 2/14/10 |
(15,015 | ) | ||||
(77 | ) | EURO$ SEP10 E98.75 P 9/13/10 EDU0P 98.75 |
(55,825 | ) | ||||
(54 | ) | EURO$ 90 DAY EDU0 CAL 9/13/10 EDU0C 99.25 |
(19,913 | ) | ||||
(33 | ) | EURO$ SEP10 E98.75 C 9/13/10 EDU0C 98.75 |
(36,300 | ) | ||||
(68 | ) | US 10YR FUT FEB10 PUT 1/22/10 TYG0P115.00 |
(39,313 | ) | ||||
(100 | ) | US 10YR NOTE MAR10 CAL 1/22/10 TYGOC 118.00 |
(9,375 | ) | ||||
Total Cash, Cash Equivalents and Other Investments |
45,451,265 | |||||||
Loans to participants (interest rates from 4.25% to 10.50% maturing
through October 2030)* |
56,805,140 | |||||||
Total Investments |
$ | 3,234,383,641 | ||||||
* | Indicates party-in-interest to the Plan. |
58
TIME WARNER SAVINGS PLAN |
||||
Date: June 25, 2010 | By: | /s/ Daniel J. Happer | ||
Name: | Daniel J. Happer | |||
Member of the Administrative Committee |
Exhibit | ||||||
Number | Description | |||||
23.1
|
Consent of Ernst & Young LLP, Independent Registered Public Accounting Firm |