[X]
|
ANNUAL REPORT PURSUANT TO SECTION 15(d)
|
OF THE SECURITIES EXCHANGE ACT OF 1934
|
[ ]
|
TRANSITION REPORT PURSUANT TO SECTION 15(d)
|
OF THE SECURITIES EXCHANGE ACT OF 1934
|
TABLE OF CONTENTS
|
Page
Number
|
|
Signatures
|
2
|
|
Report of Independent Registered Public Accounting Firm
|
3
|
|
Financial Statements
|
||
Statements of Net Assets Available for Benefits
|
4
|
|
Statements of Changes in Net Assets Available for Benefits
|
5
|
|
Notes to Financial Statements
|
6-18
|
|
Supplemental Schedules
|
||
Schedule of Assets (Held as of End of Year)
|
19-50
|
|
Schedule of Assets (Acquired and Disposed of Within Year)
|
51
|
|
Schedule of Nonexempt Transactions
|
52
|
|
Exhibits
|
||
Exhibit Index
|
53
|
|
Consent of Independent Registered Public Accounting Firm
|
54
|
2013
|
2012
|
|||||
ASSETS
|
||||||
Participant Directed Investments at Fair Value
|
$
|
3,717,371,173
|
$
|
3,268,509,701
|
||
Notes Receivable from Participants
|
83,912,060
|
79,060,932
|
||||
TOTAL ASSETS
|
3,801,283,233
|
3,347,570,633
|
||||
Adjustment from Fair Value to Contract Value for Fully Benefit Responsive Wrap Contracts
|
(866,725)
|
(17,178,669)
|
||||
NET ASSETS AVAILABLE FOR BENEFITS
|
$
|
3,800,416,508
|
$
|
3,330,391,964
|
||
See Notes to Financial Statements beginning on page 6.
|
2013
|
2012
|
|||||
INVESTMENT INCOME
|
||||||
Net Appreciation in Fair Value of Investments
|
$
|
496,359,189
|
$
|
255,472,235
|
||
Interest
|
9,537,438
|
11,457,388
|
||||
Dividends
|
31,870,905
|
33,392,767
|
||||
Total Investment Income
|
537,767,532
|
300,322,390
|
||||
CONTRIBUTIONS
|
||||||
Participants
|
150,007,060
|
147,216,242
|
||||
Employer
|
65,707,451
|
65,123,578
|
||||
Total Contributions
|
215,714,511
|
212,339,820
|
||||
DISTRIBUTIONS TO PARTICIPANTS
|
(280,061,184)
|
|
(198,027,366)
|
|||
ADMINISTRATIVE AND MANAGEMENT FEES
|
||||||
Professional Fees
|
(670,734)
|
(697,438)
|
||||
Investment Advisory and Management Fees
|
(5,975,010)
|
(5,339,996)
|
||||
Other Fees
|
(524,779)
|
(482,541)
|
||||
Total Administrative and Management Fees
|
(7,170,523)
|
(6,519,975)
|
||||
INTEREST INCOME ON NOTES RECEIVABLE FROM
PARTICIPANTS
|
3,774,208
|
3,449,226
|
||||
TRANSFERS INTO PLAN
|
-
|
152,008
|
||||
INCREASE IN NET ASSETS
|
470,024,544
|
311,716,103
|
||||
NET ASSETS AVAILABLE FOR BENEFITS BEGINNING OF YEAR
|
3,330,391,964
|
3,018,675,861
|
||||
NET ASSETS AVAILABLE FOR BENEFITS END OF YEAR
|
$
|
3,800,416,508
|
$
|
3,330,391,964
|
||
See Notes to Financial Statements beginning on page 6.
|
December 31,
|
||||||
2013
|
2012
|
|||||
American Electric Power Company, Inc. Common Stock
|
$
|
294,612,643
|
$
|
282,978,430
|
||
Mellon Capital Aggregate Bond Index Fund
|
454,335,541
|
464,002,734
|
||||
Mellon Capital Stock Index Fund
|
637,979,183
|
481,200,145
|
||||
Mellon Capital International Stock Index Fund
|
382,529,284
|
305,480,758
|
||||
Mellon Capital Small Cap Stock Index Fund (a)
|
218,730,345
|
163,278,652
|
Years Ended December 31,
|
||||||
2013
|
2012
|
|||||
American Electric Power Company, Inc. Common Stock
|
$
|
27,559,707
|
$
|
9,617,491
|
||
Common/Collective Trusts
|
281,942,154
|
165,034,728
|
||||
Corporate Stock
|
175,717,078
|
70,090,069
|
||||
Fixed Income Securities
|
(2,343,892)
|
964,770
|
||||
Registered Investment Companies
|
13,484,142
|
9,765,177
|
||||
Net Appreciation in Fair Value of Investments
|
$
|
496,359,189
|
$
|
255,472,235
|
Plan Assets within the Fair Value Hierarchy as of December 31, 2013
|
|||||||||||||
|
|||||||||||||
Level 1 | Level 2 | Level 3 | Total | ||||||||||
Equities | |||||||||||||
Corporate Stocks
|
$
|
643,479,327
|
$
|
-
|
$
|
-
|
$
|
643,479,327
|
|||||
AEP Stock
|
294,612,643
|
-
|
-
|
294,612,643
|
|||||||||
Subtotal Equities
|
938,091,970
|
-
|
-
|
938,091,970
|
|||||||||
Fixed Income
|
|||||||||||||
Government Bonds
|
-
|
99,954,594
|
-
|
99,954,594
|
|||||||||
Corporate Debt Securities
|
-
|
173,612,943
|
-
|
173,612,943
|
|||||||||
Mortgage Backed Securities
|
-
|
171,693,244
|
-
|
171,693,244
|
|||||||||
Subtotal Fixed Income
|
-
|
445,260,781
|
-
|
445,260,781
|
|||||||||
Common/Collective Trusts
|
|||||||||||||
JPMorgan Liquidity Fund
|
-
|
20,014,690
|
-
|
20,014,690
|
|||||||||
JPMorgan US Treasury Plus Money Market Fund
|
-
|
78,372,654
|
-
|
78,372,654
|
|||||||||
Mellon Capital Small Cap Stock Index Fund
|
-
|
218,730,345
|
-
|
218,730,345
|
|||||||||
Mellon Capital Stock Index Fund
|
-
|
637,979,183
|
-
|
637,979,183
|
|||||||||
Mellon Capital International Stock Index Fund
|
-
|
382,529,284
|
-
|
382,529,284
|
|||||||||
JPMorgan US Real Estate Securities Fund
|
-
|
21,321,034
|
-
|
21,321,034
|
|||||||||
Mellon Capital Aggregate Bond Index Fund
|
-
|
454,335,541
|
-
|
454,335,541
|
|||||||||
Mellon Capital Treasury Inflation-Protected
Securities Fund
|
-
|
14,878,293
|
-
|
14,878,293
|
|||||||||
Metlife Separate Account No. 690
|
-
|
160,604,028
|
-
|
160,604,028
|
|||||||||
Wells Fargo Fixed Income Fund N
|
-
|
122,945,600
|
-
|
122,945,600
|
|||||||||
JPMorgan Strategic Property Fund
|
-
|
-
|
37,903,552
|
37,903,552
|
|||||||||
JPMorgan Emerging Markets Fund
|
-
|
-
|
21,301,049
|
21,301,049
|
|||||||||
Subtotal Common/Collective Trusts
|
-
|
2,111,710,652
|
59,204,601
|
2,170,915,253
|
|||||||||
Registered Investment Companies
|
156,155,678
|
-
|
-
|
156,155,678
|
|||||||||
Cash Equivalents
|
-
|
16,534,243
|
-
|
16,534,243
|
|||||||||
Accrued Items and Unsettled Trades
|
(422,240)
|
(9,164,512)
|
-
|
(9,586,752)
|
|||||||||
Total Assets Reflecting Investments at Fair Value
|
$
|
1,093,825,408
|
$
|
2,564,341,164
|
$
|
59,204,601
|
$
|
3,717,371,173
|
Plan Assets within the Fair Value Hierarchy as of December 31, 2012
|
||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||
Equities
|
||||||||||||
Corporate Stocks
|
$
|
494,382,946
|
$
|
-
|
$
|
-
|
$
|
494,382,946
|
||||
AEP Stock
|
282,978,430
|
-
|
-
|
282,978,430
|
||||||||
Subtotal Equities
|
777,361,376
|
-
|
-
|
777,361,376
|
||||||||
Fixed Income
|
||||||||||||
Government Bonds
|
-
|
105,989,433
|
-
|
105,989,433
|
||||||||
Corporate Debt Securities
|
-
|
159,049,975
|
-
|
159,049,975
|
||||||||
Mortgage Backed Securities
|
-
|
204,001,237
|
-
|
204,001,237
|
||||||||
Subtotal Fixed Income
|
-
|
469,040,645
|
-
|
469,040,645
|
||||||||
Common/Collective Trusts
|
||||||||||||
JPMorgan Liquidity Fund
|
-
|
14,005,564
|
-
|
14,005,564
|
||||||||
JPMorgan US Treasury Plus Money Market Fund
|
-
|
109,448,923
|
-
|
109,448,923
|
||||||||
Mellon Capital Small Cap Stock Index Fund
|
-
|
163,278,652
|
-
|
163,278,652
|
||||||||
Mellon Capital Stock Index Fund
|
-
|
481,200,145
|
-
|
481,200,145
|
||||||||
Mellon Capital International Stock Index Fund
|
-
|
305,480,758
|
-
|
305,480,758
|
||||||||
JPMorgan US Real Estate Securities Fund
|
-
|
17,816,967
|
-
|
17,816,967
|
||||||||
Mellon Capital Aggregate Bond Index Fund
|
-
|
464,002,734
|
-
|
464,002,734
|
||||||||
Mellon Capital Treasury Inflation-Protected
Securities Fund
|
-
|
14,704,660
|
-
|
14,704,660
|
||||||||
Metlife Separate Account No. 690
|
-
|
150,986,394
|
-
|
150,986,394
|
||||||||
Wells Fargo Fixed Income Fund N
|
-
|
125,425,281
|
-
|
125,425,281
|
||||||||
JPMorgan Strategic Property Fund
|
-
|
-
|
31,791,671
|
31,791,671
|
||||||||
JPMorgan Emerging Markets Fund
|
-
|
-
|
18,068,713
|
18,068,713
|
||||||||
Subtotal Common/Collective Trusts
|
-
|
1,846,350,078
|
49,860,384
|
1,896,210,462
|
||||||||
Registered Investment Companies
|
109,253,314
|
-
|
-
|
109,253,314
|
||||||||
Cash Equivalents
|
-
|
19,864,466
|
-
|
19,864,466
|
||||||||
Accrued Items and Unsettled Trades
|
545,362
|
(3,765,924)
|
-
|
(3,220,562)
|
||||||||
Total Assets Reflecting Investments at Fair Value
|
$
|
887,160,052
|
$
|
2,331,489,265
|
$
|
49,860,384
|
$
|
3,268,509,701
|
Fair Value Estimated Using Net Asset Value per Share as of December 31, 2013
|
|||||||
Fair Value
|
Redemption Frequency
(If currently eligible)
|
Redemption Notice Period
|
|||||
JPMorgan Liquidity Fund
|
$
|
20,014,690
|
Daily
|
1 Day
|
|||
JPMorgan US Treasury Plus Money Market Fund
|
78,372,654
|
Daily
|
Trade Date + 0
|
||||
Mellon Capital Small Cap Stock Index Fund
|
218,730,345
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Stock Index Fund
|
637,979,183
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital International Stock Index Fund
|
382,529,284
|
Daily
|
Trade Date + 1
|
||||
JPMorgan US Real Estate Securities Fund
|
21,321,034
|
Daily
|
1 Day
|
||||
Mellon Capital Aggregate Bond Index Fund
|
454,335,541
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Treasury Inflation-Protected
Securities Fund
|
14,878,293
|
Daily
|
Trade Date + 1
|
||||
Metlife Separate Account No. 690
|
160,604,028
|
Monthly
|
1 Month
|
||||
Wells Fargo Fixed Income Fund N
|
122,945,600
|
Monthly
|
1 Month
|
||||
JPMorgan Strategic Property Fund
|
37,903,552
|
Quarterly
|
45 Days
|
||||
JPMorgan Emerging Markets Fund
|
21,301,049
|
Daily
|
1 Day
|
||||
Total Assets
|
$
|
2,170,915,253
|
Fair Value Estimated Using Net Asset Value per Share as of December 31, 2012
|
|||||||
Fair Value
|
Redemption Frequency
(If currently eligible)
|
Redemption Notice Period
|
|||||
JPMorgan Liquidity Fund
|
$
|
14,005,564
|
Daily
|
1 Day
|
|||
JPMorgan US Treasury Plus Money Market Fund
|
109,448,923
|
Daily
|
Trade Date + 0
|
||||
Mellon Capital Small Cap Stock Index Fund
|
163,278,652
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Stock Index Fund
|
481,200,145
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital International Stock Index Fund
|
305,480,758
|
Daily
|
Trade Date + 1
|
||||
JPMorgan US Real Estate Securities Fund
|
17,816,967
|
Daily
|
1 Day
|
||||
Mellon Capital Aggregate Bond Index Fund
|
464,002,734
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Treasury Inflation-Protected
Securities Fund
|
14,704,660
|
Daily
|
Trade Date + 1
|
||||
Metlife Separate Account No. 690
|
150,986,394
|
Monthly
|
1 Month
|
||||
Wells Fargo Fixed Income Fund N
|
125,425,281
|
Monthly
|
1 Month
|
||||
JPMorgan Strategic Property Fund
|
31,791,671
|
Quarterly
|
45 Days
|
||||
JPMorgan Emerging Markets Fund
|
18,068,713
|
Daily
|
1 Day
|
||||
Total Assets
|
$
|
1,896,210,462
|
Changes in Fair Value Measurements for the Year Ended December 31, 2013
|
|||||||||
JPMorgan
Strategic
Property
Fund
|
JPMorgan
Emerging
Markets
Fund
|
Total
|
|||||||
Balance at Beginning of Year
|
$
|
31,791,671
|
$
|
18,068,713
|
$
|
49,860,384
|
|||
Realized Gains
|
-
|
373,032
|
373,032
|
||||||
Unrealized Gains
|
5,131,893
|
(1,020,696)
|
4,111,197
|
||||||
Purchases
|
979,988
|
5,475,000
|
6,454,988
|
||||||
Sales
|
-
|
(1,595,000)
|
(1,595,000)
|
||||||
Issuances
|
-
|
-
|
-
|
||||||
Settlements
|
-
|
-
|
-
|
||||||
Balance at End of Year
|
$
|
37,903,552
|
$
|
21,301,049
|
$
|
59,204,601
|
Changes in Fair Value Measurements for the Year Ended December 31, 2012
|
|||||||||||||
JPMorgan
Strategic
Property
Fund
|
JPMorgan
Emerging
Markets
Fund
|
Wrap
Contracts
|
Total
|
||||||||||
Balance at Beginning of Year
|
$
|
34,096,695
|
$
|
15,195,847
|
$
|
456,104
|
$
|
49,748,646
|
|||||
Realized Gains (Losses)
|
(1,030,618)
|
520,253
|
(456,104)
|
(966,469)
|
|||||||||
Unrealized Gains (Losses)
|
(6,980,456)
|
2,274,613
|
-
|
(4,705,843)
|
|||||||||
Purchases
|
(1,513,950)
|
(1,825,000)
|
-
|
(3,338,950)
|
|||||||||
Sales
|
7,220,000
|
1,903,000
|
-
|
9,123,000
|
|||||||||
Issuances
|
-
|
-
|
-
|
-
|
|||||||||
Settlements
|
-
|
-
|
-
|
-
|
|||||||||
Balance at End of Year
|
$
|
31,791,671
|
$
|
18,068,713
|
$
|
-
|
$
|
49,860,384
|
January 1,
|
||||||
Participant Loans – Schedule H, Part I, Line 1c(8), Column (a)
|
2013
|
2012
|
||||
Beginning Balance per Financial Statements
|
$
|
79,060,932
|
$
|
74,987,631
|
||
Less: Loans Deemed Distributed with No Post-Default Payments
|
(2,053,161)
|
(1,695,638)
|
||||
Balance Reported on Form 5500
|
$
|
77,007,771
|
$
|
73,291,993
|
December 31,
|
||||||
Participant Loans – Schedule H, Part I, Line 1c(8), Column (b)
|
2013
|
2012
|
||||
Ending Balance per Financial Statements
|
$
|
83,912,060
|
$
|
79,060,932
|
||
Less: Assets and Activity Related to Loans Deemed Distributed with No Post-Default Payments
|
(2,135,738)
|
(2,053,161)
|
||||
Balance Reported on Form 5500
|
$
|
81,776,322
|
$
|
77,007,771
|
January 1,
|
||||||
Net Assets – Schedule H, Part I, Line 1l, Column (a)
|
2013
|
2012
|
||||
Beginning Balance per Financial Statements
|
$
|
3,330,391,964
|
$
|
3,018,675,861
|
||
Plus: Adjustment from Contract Value to Fair Value
|
17,178,669
|
6,071,315
|
||||
Less: Loans Deemed Distributed with No Post-Default Payments
|
(2,053,161)
|
(1,695,638)
|
||||
Beginning Balance Reported on Form 5500
|
$
|
3,345,517,472
|
$
|
3,023,051,538
|
December 31,
|
||||||
Net Assets – Schedule H, Part I, Line 1l, Column (b)
|
2013
|
2012
|
||||
Ending Balance per Financial Statements
|
$
|
3,800,416,508
|
$
|
3,330,391,964
|
||
Plus: Adjustment from Contract Value to Fair Value
|
866,725
|
17,178,669
|
||||
Less: Assets and Activity Related to Loans Deemed Distributed with No Post-Default Payments
|
(2,135,738)
|
(2,053,161)
|
||||
Balance Reported on Form 5500
|
$
|
3,799,147,495
|
$
|
3,345,517,472
|
December 31,
|
||||||
Increase in Net Assets – Schedule H, Part II, Line 2k
|
2013
|
2012
|
||||
Per Financial Statements
|
$
|
470,024,544
|
$
|
311,716,103
|
||
Plus (Less): Change in Contract Value to Fair Value
|
(16,311,944)
|
11,107,354
|
||||
Less: Loans Deemed Distributed
|
(82,577)
|
(357,523)
|
||||
Reported on Form 5500
|
$
|
453,630,023
|
$
|
322,465,934
|
AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
|
|||||
PLAN #002 EIN #13-4922641
|
|||||
SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||
DECEMBER 31, 2013
|
|||||
INVESTMENT CONTRACTS:
|
|||||
Stable Value Wrap
|
$
|
-
|
|||
Prudential Insurance Company of America, 1.30%
|
|||||
variable annual yield (1.30% at December 31, 2013)
|
|||||
with an indeterminate maturity date
|
|||||
Stable Value Wrap
|
-
|
||||
Met Life Inc.
|
|||||
variable annual yield (0.87% at December 31, 2013)
|
|||||
with an indeterminate maturity date
|
|||||
Stable Value Wrap
|
-
|
||||
ING Life Ins. Co.
|
|||||
variable annual yield (1.69% at December 31, 2013)
|
|||||
with an indeterminate maturity date
|
|||||
Stable Value Wrap
|
-
|
||||
American General Life Insurance Co.
|
|||||
variable annual yield (1.53% at December 31, 2013)
|
|||||
with an indeterminate maturity date
|
|||||
Subtotal Wrapper Contracts
|
$
|
-
|
|||
Shares
|
Identity of Issuer, Borrower, Lessor or Similar Party
|
Fair Value
|
|||
Common / Collective Trusts
|
|||||
11,250,821
|
Wells Fargo Fixed Income Fund N
|
122,945,600
|
|||
1,574,467
|
Metlife Separate Account No 690
|
160,604,028
|
|||
71,868,923
|
JPMorgan US Treasury Plus Money Market Fund
|
78,372,654
|
|||
Total Common / Collective Trusts
|
$
|
361,922,282
|
|||
Corporate Debt Securities
|
|||||
2,750,000
|
Ally Auto Receivables Trust 2012-4, 0.59%, $2,750,000 par, due 11/16/2015
|
2,752,448
|
|||
3,000,000
|
Ally Auto Receivables Trust 2012-5, 0.62%, $3,000,000 par, due 3/15/2017
|
3,001,590
|
|||
850,000
|
Ally Auto Receivables Trust 2013-2, 0.79%, $850,000 par, due 1/15/2018
|
849,227
|
|||
1,400,000
|
Altera Corp, 2.5%, $1,400,000 par, due 11/15/2018
|
1,388,156
|
|||
2,700,000
|
American Express Credit Acct Mstr Tr, 0.68%, $2,700,000 par, due 3/15/2018
|
2,704,860
|
|||
470,000
|
American Honda Finance Corp, 1.13%, $470,000 par, due 10/7/2016
|
471,922
|
|||
700,000
|
American Honda Finance Corp, 2.13%, $700,000 par, due 2/28/2017
|
707,882
|
|||
697,184
|
AmeriCredit Auto Receivables Trust, 0.51%, $697,184 par, due 1/8/2016
|
696,926
|
|||
620,000
|
Anheuser-Busch InBev Worldwide Inc, 1.38%, $620,000 par, due 7/15/2017
|
618,698
|
|||
2,535,000
|
Anheuser-Busch InBev Worldwide Inc, 4.13%, $2,535,000 par, due 1/15/2015
|
2,630,291
|
|||
415,000
|
AT&T Inc, 2.4%, $415,000 par, due 8/15/2016
|
426,765
|
|||
1,680,000
|
AT&T Inc, 2.95%, $1,680,000 par, due 5/15/2016
|
1,751,820
|
|||
1,085,000
|
Bank of America Corp, 3.63%, $1,085,000 par, due 3/17/2016
|
1,141,496
|
|||
770,000
|
Bank of America Corp, 3.75%, $770,000 par, due 7/12/2016
|
818,602
|
|||
1,085,000
|
Bank of America Corp, 3.88%, $1,085,000 par, due 3/22/2017
|
1,158,042
|
|||
750,000
|
Bank of New York Mellon Corp/The, 2.1%, $750,000 par, due 8/1/2018
|
747,195
|
|||
1,875,000
|
Bank of Nova Scotia, 1.75%, $1,875,000 par, due 3/22/2017
|
1,910,175
|
|||
1,245,000
|
Bank of Nova Scotia, 2.05%, $1,245,000 par, due 10/7/2015
|
1,277,158
|
|||
1,120,000
|
Barclays Bank PLC, 5.2%, $1,120,000 par, due 7/10/2014
|
1,147,966
|
|||
700,000
|
BB&T Corp, 2.05%, $700,000 par, due 6/19/2018
|
693,028
|
|||
1,100,000
|
BMW Vehicle Owner Trust 2013-A, 0.67%, $1,100,000 par, due 11/27/2017
|
1,101,023
|
|||
1,400,000
|
BP Capital Markets PLC, 1.38%, $1,400,000 par, due 5/10/2018
|
1,358,770
|
|||
400,000
|
Branch Banking & Trust Co, 2.3%, $400,000 par, due 10/15/2018
|
400,596
|
|||
2,000,000
|
Capital Auto Receivables Asset Trust, 0.85%, $2,000,000 par, due 2/21/2017
|
1,997,720
|
|||
580,000
|
Caterpillar Financial Services Corp, 1.35%, $580,000 par, due 9/6/2016
|
583,590
|
|||
1,000,000
|
Chase Issuance Trust, 0.22%, $1,000,000 par, due 4/15/2019
|
991,650
|
|||
370,000
|
Chevron Corp, 0.89%, $370,000 par, due 6/24/2016
|
370,877
|
500,000
|
Chevron Corp, 1.1%, $500,000 par, due 12/5/2017
|
488,995
|
|||
525,000
|
Citigroup Inc, 0.51%, $525,000 par, due 6/9/2016
|
516,485
|
|||
1,355,000
|
Citigroup Inc, 3.95%, $1,355,000 par, due 6/15/2016
|
1,441,585
|
|||
700,000
|
Citigroup Inc, 4.59%, $700,000 par, due 12/15/2015
|
748,027
|
|||
780,000
|
Cooperatieve Centrale Rabobank Nederland, 2.13%, $780,000 par, due 10/13/2015
|
800,108
|
|||
685,000
|
Cooperatieve Centrale Rabobank Nederland, 3.38%, $685,000 par, due 1/19/2017
|
721,230
|
|||
2,000,000
|
Covidien International Finance SA, 2.8%, $2,000,000 par, due 6/15/2015
|
2,056,560
|
|||
1,280,000
|
Credit Suisse/New York NY, 3.5%, $1,280,000 par, due 3/23/2015
|
1,325,222
|
|||
1,340,000
|
CVS Caremark Corp, 3.25%, $1,340,000 par, due 5/18/2015
|
1,385,104
|
|||
945,000
|
Deutsche Bank AG/London, 3.88%, $945,000 par, due 8/18/2014
|
964,826
|
|||
1,220,000
|
Devon Energy Corp, 1.88%, $1,220,000 par, due 5/15/2017
|
1,228,882
|
|||
755,000
|
DIRECTV Holdings LLC / DIRECTV Financing Co Inc, 2.4%, $755,000 par, due 3/15/2017
|
768,635
|
|||
2,470,000
|
DIRECTV Holdings LLC / DIRECTV Financing Co Inc, 3.5%, $2,470,000 par, due 3/1/2016
|
2,592,734
|
|||
1,550,000
|
Discover Card Execution Note Trust, 0.69%, $1,550,000 par, due 8/15/2018
|
1,545,800
|
|||
1,175,000
|
Duke Realty LP, 5.95%, $1,175,000 par, due 2/15/2017
|
1,307,517
|
|||
992,460
|
Education Loan Asset-Backed Trust I, 0.96%, $992,460 par, due 6/25/2026
|
988,025
|
|||
930,000
|
EMC Corp/MA, 1.88%, $930,000 par, due 6/1/2018
|
919,435
|
|||
2,100,000
|
Extended Stay America Trust 2013-ESH, 1.28%, $2,100,000 par, due 12/5/2031
|
2,058,630
|
|||
2,000,000
|
Extended Stay America Trust 2013-ESH, 2.96%, $2,000,000 par, due 12/5/2019
|
1,940,800
|
|||
2,500,000
|
Ford Credit Auto Lease Trust 2013-A, 0.6%, $2,500,000 par, due 3/15/2016
|
2,499,925
|
|||
2,100,000
|
Ford Credit Auto Owner Trust 2013-B, 0.57%, $2,100,000 par, due 10/15/2017
|
2,102,457
|
|||
2,325,000
|
Ford Credit Auto Owner Trust 2013-C, 0.82%, $2,325,000 par, due 12/15/2017
|
2,333,440
|
|||
1,595,000
|
Ford Motor Credit Co LLC, 3%, $1,595,000 par, due 6/12/2017
|
1,657,715
|
|||
435,000
|
Ford Motor Credit Co LLC, 4.25%, $435,000 par, due 2/3/2017
|
467,960
|
|||
621,514
|
GE Capital Commercial Mortgage Corp, 4.89%, $621,514 par, due 3/10/2040
|
622,166
|
|||
2,000,000
|
GE Equipment Midticket LLC Series 2013-1, 0.95%, $2,000,000 par, due 4/22/2016
|
2,004,580
|
|||
1,775,000
|
GE Equipment Transportation LLC Series 2012-2, 0.62%, $1,775,000 par, due 7/25/2016
|
1,774,858
|
|||
1,400,000
|
GE Equipment Transportation LLC Series 2013-1, 0.69%, $1,400,000 par, due 11/25/2016
|
1,399,370
|
|||
2,090,000
|
GE Equipment Transportation LLC Series 2013-2, 0.92%, $2,090,000 par, due 9/25/2017
|
2,089,039
|
|||
2,000,000
|
GEDFT 2012-4 A, 0.61%, $2,000,000 par, due 10/20/2015
|
2,001,640
|
|||
2,130,000
|
General Electric Capital Corp, 2.3%, $2,130,000 par, due 4/27/2017
|
2,189,363
|
|||
900,000
|
GlaxoSmithKline Capital PLC, 1.5%, $900,000 par, due 5/8/2017
|
900,405
|
|||
2,140,000
|
Goldman Sachs Group Inc/The, 3.63%, $2,140,000 par, due 2/7/2016
|
2,245,887
|
|||
860,000
|
Hartford Financial Services Group Inc, 4%, $860,000 par, due 10/15/2017
|
914,713
|
|||
895,000
|
Hewlett-Packard Co, 3%, $895,000 par, due 9/15/2016
|
930,997
|
|||
950,000
|
Honda Auto Receivables 2012-4 Owner Trust, 0.52%, $950,000 par, due 8/18/2016
|
950,941
|
|||
1,200,000
|
Honda Auto Receivables 2013-4 Owner Trust, 0.69%, $1,200,000 par, due 9/18/2017
|
1,200,936
|
|||
2,000,000
|
HSBC Finance Corp, 0.49%, $2,000,000 par, due 1/15/2014
|
2,000,020
|
|||
1,750,000
|
Hyundai Auto Receivables Trust 2013-C, 1.01%, $1,750,000 par, due 2/15/2018
|
1,760,185
|
|||
1,400,000
|
Intel Corp, 1.35%, $1,400,000 par, due 12/15/2017
|
1,383,676
|
|||
500,000
|
JPMorgan Chase & Co, 3.15%, $500,000 par, due 7/5/2016
|
524,190
|
|||
910,000
|
JPMorgan Chase & Co, 3.45%, $910,000 par, due 3/1/2016
|
954,454
|
|||
1,889,255
|
Kentucky Higher Education Student Loan Corp, 0.67%, $1,889,255 par, due 6/1/2026
|
1,869,474
|
|||
1,350,000
|
Kraft Foods Group Inc, 2.25%, $1,350,000 par, due 6/5/2017
|
1,366,970
|
|||
555,000
|
Lowe's Cos Inc, 1.63%, $555,000 par, due 4/15/2017
|
553,035
|
|||
1,500,000
|
M&T Bank Auto Receivables Trust 2013-1, 1.06%, $1,500,000 par, due 11/15/2017
|
1,508,790
|
|||
404,000
|
Macy's Retail Holdings Inc, 5.9%, $404,000 par, due 12/1/2016
|
453,159
|
|||
1,125,000
|
Massachusetts Health & Educational Facilities Authority, 5.26%, $1,125,000 par, due 10/1/2018
|
1,280,846
|
|||
1,000,000
|
MassMutual Global Funding II, 2.1%, $1,000,000 par, due 8/2/2018
|
991,940
|
|||
575,000
|
Mercedes-Benz Auto Receivables Trust 2013-1, 0.78%, $575,000 par, due 8/15/2017
|
576,098
|
|||
2,418,000
|
Micron Semiconductor Asia Pte Ltd, 1.26%, $2,418,000 par, due 1/15/2019
|
2,409,561
|
|||
1,325,000
|
Morgan Stanley Capital I Trust 2007-IQ13, 5.36%, $1,325,000 par, due 3/15/2044
|
1,458,958
|
|||
1,600,000
|
Morgan Stanley Capital I Trust 2007-TOP27, 5.65%, $1,600,000 par, due 6/11/2042
|
1,797,648
|
|||
1,615,000
|
Morgan Stanley, 4%, $1,615,000 par, due 7/24/2015
|
1,686,286
|
|||
1,380,000
|
Morgan Stanley, 4.75%, $1,380,000 par, due 3/22/2017
|
1,506,022
|
|||
545,000
|
Morgan Stanley, 5.55%, $545,000 par, due 4/27/2017
|
607,958
|
|||
2,095,000
|
NBCUniversal Media LLC, 3.65%, $2,095,000 par, due 4/30/2015
|
2,178,800
|
|||
1,500,021
|
New Hampshire Higher Education Loan Corp, 0.66%, $1,500,021 par, due 10/25/2028
|
1,488,516
|
1,000,000
|
New York Life Global Funding, 1.3%, $1,000,000 par, due 10/30/2017
|
968,000
|
|||
1,400,000
|
Nissan Auto Receivables 2013-B Owner Trust, 0.84%, $1,400,000 par, due 11/15/2017
|
1,406,244
|
|||
1,800,000
|
Ohio Phase-In-Recovery Funding LLC, 2.05%, $1,800,000 par, due 7/1/2019
|
1,791,230
|
|||
640,000
|
Oracle Corp, 2.38%, $640,000 par, due 1/15/2019
|
645,728
|
|||
510,000
|
Peco Energy Co, 1.2%, $510,000 par, due 10/15/2016
|
511,469
|
|||
1,470,000
|
Phillips 66, 2.95%, $1,470,000 par, due 5/1/2017
|
1,529,373
|
|||
2,000,000
|
Porsche Innovative Lease Owner Trust 2012-1, 0.54%, $2,000,000 par, due 12/21/2015
|
1,998,740
|
|||
3,445,000
|
Prudential Financial Inc, 5.1%, $3,445,000 par, due 9/20/2014
|
3,555,033
|
|||
900,000
|
Reckitt Benckiser Treasury Services PLC, 2.13%, $900,000 par, due 9/21/2018
|
895,536
|
|||
475,000
|
Rio Tinto Finance USA Ltd, 2.25%, $475,000 par, due 9/20/2016
|
488,861
|
|||
900,000
|
Rio Tinto Finance USA PLC, 2.25%, $900,000 par, due 12/14/2018
|
895,563
|
|||
1,400,000
|
Royal Bank of Canada, 2%, $1,400,000 par, due 10/1/2018
|
1,392,734
|
|||
2,135,000
|
Royal Bank of Scotland PLC/The, 4.88%, $2,135,000 par, due 3/16/2015
|
2,232,335
|
|||
2,100,000
|
Santander Drive Auto Receivables Tr, 0.7%, $2,100,000 par, due 9/15/2017
|
2,098,173
|
|||
2,120,000
|
Shell International Finance BV, 3.1%, $2,120,000 par, due 6/28/2015
|
2,200,094
|
|||
1,157,013
|
SLM Student Loan Trust 2012-7, 0.32%, $1,157,013 par, due 2/27/2017
|
1,155,994
|
|||
1,687,746
|
Small Business Administration Participation Certificates, 2.09%, $1,687,746 par, due 11/1/2032
|
1,566,127
|
|||
2,331,814
|
Small Business Administration Participation Certificates, 4.14%, $2,331,814 par, due 2/1/2030
|
2,445,513
|
|||
1,826,843
|
Student Loan Corp, 0.86%, $1,826,843 par, due 7/25/2036
|
1,819,102
|
|||
1,350,000
|
Toronto-Dominion Bank/The, 2.5%, $1,350,000 par, due 7/14/2016
|
1,400,315
|
|||
995,000
|
Total Capital International SA, 1.55%, $995,000 par, due 6/28/2017
|
995,209
|
|||
1,500,000
|
Toyota Auto Receivables 2013-B Owner Trust, 0.89%, $1,500,000 par, due 7/17/2017
|
1,506,975
|
|||
1,400,000
|
Toyota Motor Credit Corp, 2%, $1,400,000 par, due 10/24/2018
|
1,399,594
|
|||
480,000
|
UBS AG/Stamford CT, 3.88%, $480,000 par, due 1/15/2015
|
496,248
|
|||
375,000
|
UBS AG/Stamford CT, 5.88%, $375,000 par, due 12/20/2017
|
430,324
|
|||
1,400,000
|
Union Pacific Corp, 5.65%, $1,400,000 par, due 5/1/2017
|
1,573,488
|
|||
385,000
|
United Technologies Corp, 1.8%, $385,000 par, due 6/1/2017
|
390,933
|
|||
1,080,000
|
Verizon Communications Inc, 2%, $1,080,000 par, due 11/1/2016
|
1,101,989
|
|||
1,240,000
|
Verizon Communications Inc, 3%, $1,240,000 par, due 4/1/2016
|
1,293,072
|
|||
2,000,000
|
Volvo Financial Equipment LLC Series 2013-1, 0.74%, $2,000,000 par, due 3/15/2017
|
1,998,340
|
|||
1,600,000
|
World Omni Auto Lease Sec Trust, 0.73%, $1,600,000 par, due 5/16/2016
|
1,601,568
|
|||
2,000,000
|
World Omni Auto Receivables Trust 2012-B, 0.61%, $2,000,000 par, due 6/15/2017
|
2,002,540
|
|||
1,400,000
|
World Omni Auto Receivables Trust 2013-B, 0.83%, $1,400,000 par, due 8/15/2018
|
1,399,552
|
|||
Total Corporate Debt Securities
|
$
|
161,326,047
|
|||
Government Bonds
|
|||||
1,300,000
|
Arizona School Facilities Board, 1.75%, $1,300,000 par, due 7/1/2019
|
$
|
1,237,704
|
||
1,385,000
|
Bear Stearns Commercial Mortgage Securities Trust 2006-PWR11, 5.44%, $1,385,000 par, due 3/11/2039
|
1,491,908
|
|||
2,320,000
|
Bear Stearns Commercial Mortgage Securities Trust 2006-PWR12, 5.71%, $2,320,000 par, due 9/11/2038
|
2,535,992
|
|||
1,000,000
|
Beaver County School District, 1.76%, $1,000,000 par, due 2/1/2018
|
983,880
|
|||
1,200,000
|
Commonwealth of Massachusetts, 0.52%, $1,200,000 par, due 4/1/2016
|
1,187,772
|
|||
1,005,000
|
Coos County School District No 13 North Bend, 2.01%, $1,005,000 par, due 6/15/2020
|
948,871
|
|||
400,000
|
County of Baltimore MD, 3.31%, $400,000 par, due 11/1/2019
|
415,076
|
|||
1,650,000
|
County of Harris TX, 1.37%, $1,650,000 par, due 10/1/2018
|
1,586,228
|
|||
300,000
|
County of New Castle DE, 1%, $300,000 par, due 7/15/2016
|
298,656
|
|||
110,000
|
County of Travis TX, 0.87%, $1,110,000 par, due 3/1/2016
|
1,105,904
|
|||
1,500,000
|
Denver City & County School District No 1, 0.97%, $1,500,000 par, due 12/1/2016
|
1,481,535
|
|||
3,030,000
|
European Investment Bank, 1.63%, $3,030,000 par, due 6/15/2017
|
3,077,874
|
|||
1,725,000
|
Hashemite Kingdom of Jordan Government AID, 2.5%, $1,725,000 par, due 10/30/2020
|
1,689,534
|
|||
135,000
|
Lake County Township High School District No 121 Warren, 0.85%, $135,000 par, due 3/1/2014
|
135,058
|
|||
295,000
|
Lake County Township High School District No 121 Warren, 1%, $295,000 par, due 3/1/2015
|
295,348
|
|||
1,000,000
|
Manhattan Beach Unified School District, 2.01%, $1,000,000 par, due 9/1/2019
|
964,090
|
|||
1,494,672
|
MSN 41079 and 41084 Ltd, 1.72%, $1,494,672 par, due 7/13/2024
|
1,426,067
|
|||
925,000
|
New York State Dormitory Authority, 1%, $925,000 par, due 2/15/2016
|
921,198
|
|||
2,747,131
|
North Carolina State Ed Assistance Auth, 0.97%, $2,747,131 par, due 7/25/2039
|
2,750,400
|
|||
1,000,000
|
North Orange County Community College District/CA, 0.96%, $1,000,000 par, due 8/1/2016
|
996,800
|
|||
1,400,000
|
Overseas Private Investment Corp, $1,400,000 par, due 7/12/2014
|
1,415,078
|
|||
2,700,000
|
Petroleos Mexicanos, 0.67%, $2,700,000 par, due 2/15/2024
|
2,713,986
|
1,260,000
|
Petroleos Mexicanos, 2%, $1,260,000 par, due 12/20/2022
|
1,241,264
|
|||
2,175,000
|
Petroleos Mexicanos, 2.83%, $2,175,000 par, due 2/15/2024
|
2,203,297
|
|||
1,841,565
|
Phoenix 2012 LLC, 1.61%, $1,841,565 par, due 7/3/2024
|
1,750,666
|
|||
1,000,000
|
South San Antonio Independent School District/TX, 3.75%, $1,000,000 par, due 8/15/2014
|
1,019,610
|
|||
1,250,000
|
State of Maryland, 1.4%, $1,250,000 par, due 8/1/2017
|
1,247,388
|
|||
875,000
|
State of Michigan, 1.38%, $875,000 par, due 5/15/2016
|
876,111
|
|||
1,000,000
|
State of New York, 3.75%, $1,000,000 par, due 3/1/2018
|
1,068,520
|
|||
500,000
|
State of Ohio, 3.18%, $500,000 par, due 5/1/2018
|
520,455
|
|||
855,000
|
State of Tennessee, 2.33%, $855,000 par, due 8/1/2017
|
878,393
|
|||
1,200,000
|
State of Wisconsin, 5.05%, $1,200,000 par, due 5/1/2018
|
1,312,188
|
|||
1,848,440
|
Tagua Leasing LLC, 1.58%, $1,848,440 par, due 11/16/2024
|
1,741,046
|
|||
2,975,000
|
United States Small Business Administration, 3.64%, $2,975,000 par, due 9/10/2023
|
3,067,344
|
|||
1,775,000
|
United States Treasury Inflation Indexed Bonds, 0.13%, $1,775,000 par, due 7/15/2022
|
1,726,745
|
|||
10,291,000
|
United States Treasury Inflation Indexed Bonds, 0.13%, $10,291,000 par, due 4/15/2018
|
10,604,315
|
|||
6,460,000
|
United States Treasury Note/Bond, 0.88%, $6,460,000 par, due 4/30/2017
|
6,440,814
|
|||
4,350,000
|
United States Treasury Note/Bond, 1.25%, $4,350,000 par, due 10/31/2018
|
4,264,697
|
|||
6,100,000
|
United States Treasury Note/Bond, 1.75%, $6,100,000 par, due 10/31/2020
|
5,852,218
|
|||
4,000,000
|
United States Treasury Note/Bond, 2.38%, $4,000,000 par, due 12/31/2020
|
3,984,360
|
|||
1,000,000
|
Virginia College Building Authority, 4.25%, $1,000,000 par, due 2/1/2018
|
1,082,590
|
|||
735,000
|
Washington & Multnomah Counties School Dist No 48J Beaverton, 1.72%, $735,000 par, due 6/15/2019 | 706,203 | |||
Total Government Bonds
|
$
|
81,247,183
|
|||
Mortgage Backed Securities
|
|||||
2,272,281
|
Citigroup Commercial Mortgage Trust 2004-C2, 4.73%, $2,272,281 par, due 10/15/2041
|
2,311,864
|
|||
2,275,000
|
Citigroup Commercial Mortgage Trust 2013-GC11, 2.69%, $2,275,000 par, due 12/10/2022
|
2,209,002
|
|||
206,030
|
COMM 2004-LNB2 Mortgage Trust, 4.71%, $206,030 par, due 3/10/2039
|
206,032
|
|||
353,817
|
Commercial Mortgage Trust 2005-GG3, 4.57%, $353,817 par, due 8/10/2042
|
353,517
|
|||
344,028
|
DBRR 2012 - EZ1 A, 0.95%, $344,028 par, due 9/25/2045
|
344,045
|
|||
2,750,000
|
Fannie Mae Pool, 1.27%, $2,750,000 par, due 9/1/2017
|
2,752,998
|
|||
1,673,414
|
Fannie Mae Pool, 2%, $1,673,414 par, due 11/1/2022
|
1,682,785
|
|||
1,839,529
|
Fannie Mae Pool, 2%, $1,839,529 par, due 5/1/2023
|
1,849,831
|
|||
2,018,480
|
Fannie Mae Pool, 2%, $2,018,480 par, due 8/1/2023
|
2,029,763
|
|||
1,656,520
|
Fannie Mae Pool, 2.5%, $1,656,520 par, due 10/1/2022
|
1,691,208
|
|||
1,928,948
|
Fannie Mae Pool, 2.5%, $1,928,948 par, due 8/1/2023
|
1,969,321
|
|||
1,978,120
|
Fannie Mae Pool, 2.5%, $1,978,120 par, due 8/1/2022
|
2,019,482
|
|||
1,986,625
|
Fannie Mae Pool, 2.5%, $1,986,625 par, due 1/1/2028
|
1,968,427
|
|||
2,070,180
|
Fannie Mae Pool, 2.5%, $2,070,180 par, due 9/1/2022
|
2,113,508
|
|||
2,132,976
|
Fannie Mae Pool, 2.5%, $2,132,976 par, due 11/1/2022
|
2,177,598
|
|||
2,141,826
|
Fannie Mae Pool, 2.5%, $2,141,826 par, due 10/1/2022
|
2,186,676
|
|||
2,261,093
|
Fannie Mae Pool, 2.5%, $2,261,093 par, due 11/1/2022
|
2,308,463
|
|||
3,552,548
|
Fannie Mae Pool, 2.5%, $3,552,548 par, due 2/1/2023
|
3,627,080
|
|||
3,845,423
|
Fannie Mae Pool, 2.5%, $3,845,423 par, due 6/1/2023
|
3,925,870
|
|||
6,243,094
|
Fannie Mae Pool, 2.5%, $6,243,094 par, due 8/1/2022
|
6,373,700
|
|||
6,990,802
|
Fannie Mae Pool, 2.5%, $6,890,802 par, due 12/1/2022
|
7,035,302
|
|||
960,717
|
Fannie Mae Pool, 2.5%, $960,717 par, due 8/1/2023
|
980,825
|
|||
969,130
|
Fannie Mae Pool, 2.5%, $969,130 par, due 9/1/2023
|
989,424
|
|||
323,694
|
Fannie Mae Pool, 3%, $323,694 par, due 5/1/2027
|
330,682
|
|||
886,167
|
Fannie Mae Pool, 3%, $886,167 par, due 10/1/2027
|
896,916
|
|||
3,084,042
|
Fannie Mae Pool, 4%, $3,084,042 par, due 11/1/2025
|
3,287,468
|
|||
3,897,175
|
Fannie Mae Pool, 4%, $3,897,175 par, due 6/1/2026
|
4,132,565
|
|||
2,892,428
|
Fannie Mae Pool, 4.5%, $2,892,428 par, due 6/1/2018
|
3,078,668
|
|||
985,288
|
Fannie Mae Pool, 4.5%, $985,288 par, due 12/1/2022
|
1,049,855
|
|||
1,941,573
|
Fannie Mae Pool, 5%, $1,941,573 par, due 6/1/2023
|
2,090,820
|
|||
2,465,604
|
Fannie Mae Pool, 5%, $2,465,604 par, due 3/1/2025
|
2,672,402
|
|||
3,796,659
|
Fannie Mae Pool, 5%, $3,796,659 par, due 6/1/2020
|
4,064,475
|
|||
2,216,350
|
Fannie Mae Pool, 5.5%, $2,216,350 par, due 9/1/2023
|
2,435,195
|
|||
2,025,000
|
Federal Home Loan Mortgage Corp, 1%, $2,025,000 par, due 9/29/2017
|
2,001,287
|
|||
2,000,000
|
FH 7/1 HYB 2.91 FEB, 2.91%, $2,000,000 par, due 2/1/2044
|
2,026,476
|
2,000,000
|
FHLMC K710 A2 Multifam, 1.88%, $2,000,000 par, due 5/25/2019
|
1,957,560
|
|||
2,000,000
|
FHLMC Multifamily Structured Pass Through Certificates, 2.31%, $2,000,000 par, due 3/25/2020
|
1,966,680
|
|||
2,175,000
|
FHLMC Multifamily Structured Passthrough, 2.7%, $2,175,000 par, due 5/25/2018
|
2,247,123
|
|||
4,125,000
|
FHMS K712 A2, 1.87%, $4,125,000 par, due 11/25/2019
|
3,987,638
|
|||
2,500,000
|
FN 7/1 HYB 2.94 FEB, 2.94%, $2,500,000 par, due 2/1/2044
|
2,534,720
|
|||
2,000,000
|
FNA 2012 - M14 ASQ2, 1.11%, $2,000,000 par, due 2/25/2017
|
1,990,280
|
|||
1,857,092
|
Freddie Mac Gold Pool, 2.5%, $1,857,092 par, due 4/1/2023
|
1,892,674
|
|||
1,911,092
|
Freddie Mac Gold Pool, 2.5%, $1,911,092 par, due 4/1/2023
|
1,947,976
|
|||
1,966,765
|
Freddie Mac Gold Pool, 2.5%, $1,966,765 par, due 1/1/2028
|
1,951,365
|
|||
1,945,815
|
Freddie Mac Gold Pool, 4%, $1,945,815 par, due 7/1/2026
|
2,055,771
|
|||
1,856,323
|
Freddie Mac Gold Pool, 4.5%, $1,856,323 par, due 6/1/2025
|
2,018,777
|
|||
2,845,721
|
Freddie Mac Gold Pool, 5%, $2,845,721 par, due 10/1/2020
|
3,020,354
|
|||
634,791
|
Freddie Mac Gold Pool, 5%, $634,791 par, due 4/1/2023
|
685,593
|
|||
951,557
|
Freddie Mac Gold Pool, 5%, $951,557 par, due 2/1/2025
|
1,028,490
|
|||
1,985,074
|
Freddie Mac Non Gold Pool, 2.37%, $1,985,074 par, due 10/1/2043
|
1,990,116
|
|||
1,758,252
|
Freddie Mac REMICS, 4.5%, $1,758,252 par, due 7/15/2032
|
1,826,419
|
|||
1,619,562
|
Freddie Mac REMICS, 4.75%, $1,619,562 par, due 6/15/2035
|
1,716,901
|
|||
1,234,159
|
Freddie Mac REMICS, 5%, $1,234,159 par, due 4/15/2033
|
1,280,033
|
|||
174,518
|
Freddie Mac REMICS, 5%, $174,518 par, due 6/15/2033
|
177,670
|
|||
327,625
|
Ginnie Mae I pool, 5%, $327,625 par, due 10/15/2019
|
348,953
|
|||
3,080,447
|
Ginnie Mae II pool, 4.12%, $3,080,447 par, due 8/1/2062
|
3,311,173
|
|||
1,123,888
|
Government National Mortgage Association, 3%, $1,123,888 par, due 3/20/2038
|
1,156,306
|
|||
1,406,710
|
Government National Mortgage Association, 3.5%, $1,406,710 par, due 1/20/2039
|
1,424,476
|
|||
956,197
|
Government National Mortgage Association, 3.5%, $956,197 par, due 2/20/2039
|
986,149
|
|||
1,772,608
|
Government National Mortgage Association, 4%, $1,772,608 par, due 9/20/2038
|
1,883,750
|
|||
552,118
|
Government National Mortgage Association, 4%, $552,118 par, due 6/20/2040
|
566,389
|
|||
583,421
|
Government National Mortgage Association, 4%, $583,421 par, due 12/16/2038
|
613,998
|
|||
631,832
|
Government National Mortgage Association, 4%, $631,832 par, due 5/16/2035
|
671,992
|
|||
1,891,224
|
Government National Mortgage Association, 4.25%, $1,891,224 par, due 10/20/2038
|
2,017,217
|
|||
277,198
|
Government National Mortgage Association, 4.25%, $277,198 par, due 11/20/2034
|
282,504
|
|||
664,946
|
Government National Mortgage Association, 4.25%, $664,946 par, due 5/20/2039
|
704,295
|
|||
2,212,084
|
Government National Mortgage Association, 4.5%, $2,212,084 par, due 9/20/2036
|
2,299,227
|
|||
2,402,855
|
Government National Mortgage Association, 4.5%, $2,402,855 par, due 4/20/2036
|
2,516,229
|
|||
423,279
|
Government National Mortgage Association, 4.5%, $423,279 par, due 7/20/2038
|
452,291
|
|||
592,560
|
Government National Mortgage Association, 4.5%, $592,560 par, due 4/20/2040
|
631,426
|
|||
675,371
|
Government National Mortgage Association, 4.5%, $675,371 par, due 5/20/2040
|
708,032
|
|||
1,000,000
|
Government National Mortgage Association, 5%, $1,000,000 par, due 5/20/2038
|
1,052,209
|
|||
1,100,000
|
Government National Mortgage Association, 5.5%, $1,100,000 par, due 2/16/2037
|
1,194,698
|
|||
904,810
|
Helios Leasing I LLC, 1.56%, $904,810 par, due 9/28/2024
|
854,131
|
|||
2,000,000
|
Hilton USA Trust 2013-HLF, 1.17%, $2,000,000 par, due 11/5/2030
|
2,002,000
|
|||
2,000,000
|
JP Morgan Chase Commercial Mortgage Securities Trust 2012-C8, 2.38%, $2,000,000 par, due 4/15/2022
|
1,926,680
|
|||
20,000,000
|
JP Morgan Chase Commercial Mortgage Securities Trust 2013-LC11, 2.55%, $2,000,000 par, due 4/15/2046
|
1,923,580
|
|||
2,297,171
|
LB-UBS Commercial Mortgage Trust 2005-C5, 4.95%, $2,297,171 par, due 9/15/2030
|
2,399,464
|
|||
2,164,507
|
Merrill Lynch Mortgage Trust 2005-CKI1, 5.28%, $2,164,507 par, due 11/12/2037
|
2,296,953
|
|||
1,593,711
|
Morgan Stanley Bank of America Merrill Lynch Trust 2012-C6, 0.66%, $1,593,711 par, due 11/15/2045
|
1,586,013
|
|||
2,000,000
|
Morgan Stanley Bank of America Merrill Lynch Trust 2013-C9, 2.66%, $2,000,000 par, due 1/15/2023
|
1,925,520
|
|||
1,330,000
|
SCG Trust 2013-SRP1, 1.57%, $1,330,000 par, due 11/15/2016
|
1,331,530
|
|||
248,154
|
Wachovia Bank Commercial Mortgage Trust Series 2005-C21, 5.24%, $248,154 par, due 10/15/2044
|
263,055
|
|||
Total Mortgage Backed Securities
|
$
|
156,779,910
|
|||
Net Assets Pending Settlement
|
(3,290,526)
|
||||
Subtotal Stable Value
|
$
|
757,984,896
|
|||
TOTAL - INVESTMENT CONTRACTS
|
$
|
757,984,896
|
|||
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE
|
(866,725)
|
||||
TOTAL - INVESTMENT CONTRACTS AT CONTRACT VALUE
|
$
|
757,118,171
|
AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
|
||||
PLAN #002 EIN #13-4922641
|
||||
SCHEDULE OF ASSETS (HELD AT END OF YEAR (continued))
|
||||
DECEMBER 31, 2013
|
||||
Shares
|
Identity of Issuer, Borrower, Lessor or Similar Party
|
Fair Value | ||
Cash Equivalents
|
||||
16,534,243
|
Cash Equivalents
|
16,534,243
|
||
Total Cash Equivalents
|
$
|
16,534,243
|
||
Common / Collective Trusts
|
||||
445,116
|
JPMCB US Real Estate Securities Fund
|
$
|
21,321,034
|
|
3,677,222
|
EB Daily Liquidity Non SL Aggregate Bond Index Fund
|
454,335,541
|
||
2,771,510
|
EB Daily Liquidity Non SL International Stock Index Fund
|
382,529,284
|
||
1,095,311
|
EB Daily Liquidity Non SL Small Cap Stock
|
218,730,345
|
||
3,433,133
|
EB Daily Liquidity Non SL Stock Index Fund
|
637,979,183
|
||
129,876
|
EB DL Non SL Treasury Inflation Protected Securities Fund
|
14,878,293
|
||
1,234,128
|
JPMCB Emerging Markets - Equity Focused
|
21,301,049
|
||
17,422
|
JPMCB Strategic Property Fund
|
37,903,552
|
||
20,014,690
|
JPMCB Liquidity Fund
|
20,014,690
|
||
Total Common / Collective Trusts
|
$
|
1,808,992,971
|
||
AEP Stock
|
||||
6,303,223
|
American Electric Power Company, Inc. Common Stock $6.50 par value
|
$
|
294,612,643
|
|
Total AEP Stock
|
$
|
294,612,643
|
||
Corporate Stock
|
||||
9,100
|
3M CO USD0.01
|
$
|
1,276,275
|
|
5,950
|
AARON'S INC CLASS'A'COM VTG USD0.5
|
175,055
|
||
83,692
|
ABBOTT LABORATORIES NPV
|
3,207,914
|
||
30,900
|
ABBVIE INC USD0.01
|
1,631,829
|
||
20,175
|
ABERCROMBIE & FITCH CO USD0.01 A
|
663,959
|
||
6,130
|
ABM INDUSTRIES INC USD0.01
|
176,207
|
||
6,025
|
ACTUANT CORP USD0.20 A
|
220,756
|
||
36,872
|
ADOBE SYSTEMS INC USD0.0001
|
2,207,895
|
||
10,565
|
AEGION CORP USD0.01
|
231,268
|
||
8,700
|
AERCAP HOLDINGS N.V. EUR0.01
|
333,645
|
||
6,660
|
AEROPOSTALE INC USD0.01
|
60,539
|
||
12,549
|
AEROPOSTALE INC USD0.01
|
114,070
|
||
22,900
|
AETNA INC NEW USD0.001
|
1,570,711
|
||
14,800
|
AFC ENTERPRISES INC USD0.01
|
569,800
|
||
7,200
|
AFFILIATED MANAGERS GROUP INC USD0.01
|
1,561,536
|
||
8,750
|
AGCO CORP USD0.01
|
517,913
|
||
20,600
|
AGCO CORP USD0.01
|
1,219,314
|
||
25,400
|
AGCO CORP USD0.01
|
1,503,426
|
||
3,200
|
AGRIUM INC COM NPV
|
295,136
|
||
15,000
|
AIR METHODS CORP USD0.06
|
874,950
|
||
2,600
|
AIR PRODUCTS & CHEMICALS INC COM STK USD1
|
292,474
|
||
4,500
|
ALBEMARLE CORP USD0.01
|
286,335
|
||
27,603
|
ALEXION PHARMACEUTICAL INC COM NPV USD0.001
|
3,672,855
|
||
35,527
|
ALLERGAN INC USD0.01
|
3,946,339
|
||
3,700
|
ALLIANCE DATA SYSTEM USD0.01
|
972,841
|
||
7,300
|
ALLIANCE DATA SYSTEM USD0.01
|
1,919,389
|
||
19,000
|
ALLSTATE CORP USD0.01
|
1,041,010
|
||
21,900
|
ALLSTATE CORP USD0.01
|
1,199,901
|
||
22,212
|
AMAZON COM INC USD0.01
|
8,857,923
|
||
11,375
|
AMC NETWORKS INC USD0.01
|
774,751
|
||
9,785
|
AMDOCS LTD COMMON STOCK USD 0.01
|
404,805
|
||
20,300
|
AMEREN CORP USD0.01
|
734,048
|
||
29,903
|
AMERICAN AIRLINES GROUP INC COMMON STOCK USD 1
|
755,051
|
||
12,525
|
AMERICAN CAPITAL AGENCY CORP USD0.01
|
249,749
|
||
9,555
|
AMERICAN CAPITAL MTG INV CORP USD0.01
|
173,041
|
||
21,460
|
AMERICAN EAGLE OUTFITTER USD0.01
|
309,024
|
||
31,700
|
AMERICAN PUBLIC EDUCATION INC USD0.01
|
1,377,999
|
||
13,340
|
AMERICAN RESIDENTIAL PPTYS INC USD0.01
|
228,914
|
||
33,073
|
AMERICAN TOWER CORPORATION
|
2,639,887
|
8,200
|
AMERIPRISE FINANCIAL INC USD0.01
|
943,410
|
||
9,800
|
AMERIPRISE FINANCIAL INC USD0.01
|
1,127,490
|
||
22,100
|
AMERISOURCEBERGEN CORP NPV
|
1,553,851
|
||
20,900
|
AMPHENOL CORP USD0.001 A
|
1,868,042
|
||
4,120
|
AMSURG CORP NPV
|
189,190
|
||
23,532
|
ANADARKO PETROLEUM CORP USD0.10
|
1,866,558
|
||
4,600
|
ANN INC USD0.0068
|
168,176
|
||
27,835
|
ANWORTH MORTGAGE ASSET CORP USD0.01
|
119,412
|
||
8,300
|
APACHE CORP USD0.625
|
713,302
|
||
12,805
|
APOLLO INVESTMENT CORP COM STK USD0.001
|
111,147
|
||
11,842
|
APPLE INC COMMON STOCK USD 0.00001
|
6,644,665
|
||
6,900
|
ARCHER DANIELS MIDLAND CO NPV
|
299,460
|
||
12,510
|
ARES CAPITAL CORP USD0.001
|
222,303
|
||
18,815
|
ARES COMMERCIAL REAL ESTATE CORP USD0.01
|
251,180
|
||
6,730
|
ARGO GROUP INTL HLDGS USD0.01
|
312,878
|
||
37,285
|
ARM HLDGS ADS EACH REP 3 ORD
|
2,040,981
|
||
90,765
|
ARMOUR RESIDENTIAL REIT INC USD0.0001
|
363,968
|
||
92,400
|
ARRAY BIOPHARMA INC USD0.001
|
462,924
|
||
77,200
|
ARRIS GROUP INC USD0.01
|
1,880,978
|
||
18,880
|
ARROW ELECTRONICS INC USD1
|
1,024,240
|
||
1,000
|
ARTISAN PARTNERS ASSET MGMT INC USD0.01 A
|
65,190
|
||
3,585
|
ASBURY AUTOMOTIVE GROUP INC USD0.01
|
192,658
|
||
18,240
|
ASCENA RETAIL GROUP INC USD0.05
|
385,958
|
||
37,400
|
ASCENA RETAIL GROUP INC USD0.05
|
791,384
|
||
10,000
|
ASHLAND INC USD1
|
970,400
|
||
7,600
|
ASPEN INSURANCE HLDGS USD0.15144558
|
313,956
|
||
15,800
|
ASSOCIATED ESTATES REALTY CORP COM NPV
|
253,590
|
||
3,360
|
ASSURANT INC USD0.01
|
223,003
|
||
7,800
|
ASSURANT INC USD0.01
|
517,686
|
||
17,300
|
ASSURANT INC USD0.01
|
1,148,201
|
||
30,600
|
ASSURED GUARANTY LTD USD0.01
|
721,854
|
||
4,963
|
ATLAS AIR WORLDWIDE HOLDINGS INC USD0.01
|
204,227
|
||
311,293
|
ATMEL CORP USD0.001
|
2,437,424
|
||
25,900
|
ATWOOD OCEANICS INC USD1
|
1,382,801
|
||
14,000
|
AUTOLIV INC USD1
|
1,285,200
|
||
2,500
|
AUTOZONE INC USD0.01
|
1,194,850
|
||
17,830
|
AVNET INC USD1
|
786,481
|
||
37,900
|
AVNET INC USD1
|
1,671,769
|
||
5,200
|
AXIALL CORP USD0.01
|
247,520
|
||
10,535
|
AXIS CAPITAL HLDGS USD0.0125
|
503,994
|
||
5,600
|
BALL CORP NPV
|
289,296
|
||
31,500
|
BALL CORP NPV
|
1,627,290
|
||
1,100
|
BANCFIRST CORP USD1
|
62,007
|
||
12,632
|
BBCN BANCORP INC
|
209,565
|
||
9,500
|
BED BATH AND BEYOND USD0.01
|
762,850
|
||
3,000
|
BEL FUSE INC CLASS'B'SHS USD0.1
|
63,930
|
||
2,815
|
BELDEN INC COM STK USD0.01
|
198,458
|
||
3,800
|
BELDEN INC COM STK USD0.01
|
267,900
|
||
24,600
|
BELDEN INC COM STK USD0.01
|
1,734,300
|
||
15,300
|
BEMIS CO INC USD0.10
|
626,688
|
||
2,100
|
BERKSHIRE HILLS BANCORP INC USD0.01
|
57,267
|
||
5,900
|
BIG LOTS INC USD0.01
|
190,511
|
||
14,548
|
BIOGEN IDEC INC USD0.0005
|
4,069,803
|
||
38,233
|
BIOMARIN PHARMACEUTICAL USD0.001
|
2,686,633
|
||
9,670
|
BIOMED REALTY TRUST INC USD0.01
|
177,638
|
||
14,000
|
BOEING CO/THE COMMON STOCK USD 5
|
1,910,860
|
||
35,472
|
BOEING CO/THE COMMON STOCK USD 5
|
4,841,573
|
||
8,500
|
BOOZ ALLEN HAMILTON HLDG CORP USD0.01
|
162,775
|
||
15,300
|
BP AMOCO P.L.C ADR-EACH CNV INTO 6 ORD USD0.25
|
743,733
|
||
4,670
|
BRADY CORP 'A'NON.V USD0.01
|
144,443
|
||
9,304
|
BRAVO BRIO RESTAURANT GROUP INC NPV
|
151,376
|
||
4,785
|
BRINK'S COMPANY BRINKS GROUP COM USD1
|
163,360
|
||
44,168
|
BRISTOL-MYERS SQUIBB CO USD0.10
|
2,363,430
|
||
4,155
|
BRISTOW GROUP INC USD0.01
|
311,874
|
||
39,420
|
BROCADE COMMUNICATIONS SYSTEMS INC
|
349,655
|
13,500
|
BROOKFIELD RESIDENTIAL PROPERTIES INC COMMON STOCK
|
326,565
|
||
26,498
|
BRUNSWICK CORP USD0.75
|
1,220,498
|
||
3,700
|
BUNGE LTD USD0.01
|
303,807
|
||
56,500
|
CA INC USD0.10
|
1,901,225
|
||
72,000
|
CABLEVISION SYSTEMS CORP NY GROUP USD0.01
|
1,290,960
|
||
5,020
|
CABOT CORP USD1
|
258,028
|
||
7,559
|
CABOT CORP USD1
|
388,533
|
||
3,700
|
CACI INTL INC CLASS A COM
|
270,914
|
||
122,300
|
CAE INC COM NPV
|
1,558,102
|
||
27,970
|
CALLAWAY GOLF CO USD0.01
|
235,787
|
||
77,300
|
CAMECO CORP COM NPV
|
1,612,787
|
||
10,800
|
CAMERON INTERNATIONAL CORP USD0.01
|
642,924
|
||
17,196
|
CANADIAN PACIFIC RAILWAYS COM NPV
|
2,607,734
|
||
14,600
|
CAPITAL ONE FINANCIAL CORP USD0.01
|
1,118,506
|
||
45,800
|
CAPSTEAD MTGE.CORP USD0.01
|
567,462
|
||
17,350
|
CAREFUSION CORP USD0.01
|
690,877
|
||
3,885
|
CARLISLE COS INC USD1
|
308,469
|
||
17,869
|
CARLISLE COS INC USD1
|
1,418,799
|
||
6,400
|
CATAHY GENERAL BANCORP COM STK USD0.01
|
171,072
|
||
12,200
|
CATAMARAN CORP NPV
|
579,256
|
||
30,760
|
CBL & ASSOCIATES PROPERTIES INC USD0.01
|
559,481
|
||
25,500
|
CBS CORP CLASS'B' COM STK USD0.001
|
1,628,430
|
||
20,540
|
CDW CORP USD0.01
|
479,814
|
||
49,000
|
CDW CORP USD0.01
|
1,144,640
|
||
6,300
|
CEC ENTERTAINMENT INC COMMON STOCK EUR 0.1
|
278,964
|
||
5,249
|
CELANESE CORP COMMON STOCK USD 0.0001
|
290,322
|
||
9,400
|
CELANESE CORP COMMON STOCK USD 0.0001
|
519,914
|
||
18,625
|
CELGENE CORP USD0.01
|
3,146,880
|
||
2,950
|
CENTENE CORP(DEL) USD0.001
|
173,903
|
||
28,500
|
CENTERPOINT ENERGY INC COM STK NPV
|
660,630
|
||
1,200
|
CF INDUSTRIES HOLDINGS INC USD0.01
|
279,648
|
||
12,450
|
CHATHAM LODGING TRUST USD0.01
|
255,474
|
||
14,300
|
CHECK POINT SOFTWARE TECHNOLOGIES ORD ILS1
|
922,636
|
||
10,145
|
CHECKPOINT SYSTEMS USD0.10
|
159,987
|
||
10,340
|
CHEMED CORP CAP USD1
|
792,251
|
||
6,000
|
CHEVRON CORP USD0.75
|
749,460
|
||
-
|
CHICAGO BRIDGE & IRON CO N.V. EUR0.01 (REG)
|
181
|
||
20,400
|
CHICAGO BRIDGE & IRON CO N.V. EUR0.01 (REG)
|
1,696,056
|
||
8,389
|
CHICOS FAS INC USD0.01
|
158,049
|
||
2,441
|
CHIPOTLE MEXICAN GRILL USD0.01
|
1,300,516
|
||
11,300
|
CHUBB CORP USD1
|
1,096,891
|
||
15,300
|
CIGNA CORP USD0.25
|
1,338,444
|
||
17,900
|
CIGNA CORP USD0.25
|
1,565,892
|
||
294,800
|
CINCINNATI BELL NC USD0.01
|
1,049,488
|
||
9,400
|
CITY NATIONAL CORP USD1
|
744,668
|
||
10,600
|
CLIFFS NATURAL RESOURCES INC COM STK USD0.125
|
277,826
|
||
33,800
|
COGNEX CORP USD0.002
|
1,290,484
|
||
9,700
|
COGNIZANT TECHNOLOGY SOLUTIONS CORP USD0.01
|
979,506
|
||
18,885
|
COLONY FINANCIAL INC USD0.01
|
389,786
|
||
4,910
|
COLUMBIA BANKING SYSTEMS INC NPV
|
135,074
|
||
29,200
|
COMCAST CORP COMMON STOCK USD 0.01
|
1,523,072
|
||
3,775
|
COMERICA INC USD5
|
180,105
|
||
5,482
|
COMMERCE BANCSHARES INC USD5
|
246,197
|
||
21,700
|
COMMUNITY HEALTH SYSTEMS INC(NEW) NPV
|
852,159
|
||
21,310
|
COMPUTER SCIENCES CORP USD1
|
1,195,065
|
||
16,889
|
COMSTOCK RESOURCES INC USD0.50
|
308,900
|
||
22,697
|
CONCHO RESOURCES INC USD0.001
|
2,451,276
|
||
16,100
|
CONNS INC USD0.01
|
1,268,519
|
||
10,800
|
CONOCOPHILLIPS USD0.01
|
763,020
|
||
8,015
|
CONTANGO OIL & GAS CO USD0.04
|
378,789
|
||
14,600
|
CONTINENTAL RESOURCES INC OKLA USD0.01
|
1,642,792
|
||
41,667
|
CONVERGYS CORP NPV
|
879,590
|
||
34,842
|
COSTCO WHOLESALE CORP USD0.005
|
4,146,546
|
||
5,902
|
COVANCE INC USD0.01
|
519,730
|
||
2,769
|
CRA INTERNATIONAL INC COM
|
54,826
|
10,600
|
CRACKER BARREL OLD COUNTRY STORE INC
|
1,166,742
|
||
13,100
|
CRANE CO USD1
|
880,975
|
||
6,900
|
CROWN HOLDINGS INC
|
307,533
|
||
9,200
|
CROWN HOLDINGS INC
|
410,044
|
||
9,100
|
CUMMINS INC USD2.50
|
1,282,827
|
||
21,700
|
CUMMINS INC USD2.50
|
3,059,049
|
||
10,160
|
CURTISS-WRIGHT CORP USD1
|
632,257
|
||
3,300
|
CUSTOMERS BANCORP INC USD1.00
|
67,518
|
||
19,511
|
CVB FINANCIAL NPV
|
335,004
|
||
22,700
|
CYRUSONE INC USD0.01
|
510,523
|
||
38,266
|
CYS INVESTMENTS INC USD0.01
|
283,551
|
||
98,175
|
CYS INVESTMENTS INC USD0.01
|
727,477
|
||
29,200
|
DANA HOLDING CORP USD0.01
|
572,904
|
||
46,656
|
DANA HOLDING CORP USD0.01
|
915,391
|
||
17,300
|
DARDEN RESTAURANTS INC NPV
|
940,601
|
||
6,800
|
DELEK US HOLDINGS INC USD0.01
|
233,988
|
||
9,800
|
DELPHI AUTOMOTIVE PLC ORD USD0.01
|
589,274
|
||
20,100
|
DFC GLOBAL CORP USD0.001
|
230,145
|
||
15,553
|
DIAGEO ADR EACH REPR 4 ORD GBP0.28 101/108(BNY)
|
2,059,528
|
||
11,900
|
DIAMOND OFFSHORE DRILLING INC USD0.01
|
677,348
|
||
4,710
|
DILLARDS INC NPV A
|
458,142
|
||
20,800
|
DISCOVER FINANCIAL SERVICES USD0.01
|
1,163,760
|
||
32,691
|
DISCOVERY COMMUNICATIONS INC CLS 'A' USD0.01
|
2,955,920
|
||
44,250
|
DISCOVERY COMMUNICATIONS INC CLS 'C' USD0.01
|
3,710,805
|
||
22,000
|
DOLLAR TREE INC USD0.01
|
1,241,240
|
||
3,300
|
DOVER CORP USD1
|
318,582
|
||
7,200
|
DOW CHEMICAL CO USD2.50
|
321,984
|
||
86,000
|
DR HORTON INC USD0.01
|
1,919,520
|
||
31,700
|
DR PEPPER SNAPPLE GROUP INC USD0.01
|
1,556,470
|
||
8,765
|
DREW INDUSTRIES INC USD0.01
|
466,298
|
||
4,900
|
DU PONT(E.I.)DE NEMOURS & CO USD0.30
|
318,353
|
||
55,844
|
DUKE REALTY CORP USD0.01
|
839,894
|
||
51,708
|
DUNKIN BRANDS GROUP INC USD0.001
|
2,492,326
|
||
14,300
|
DUPONT FABROS TECHNOLOGY USD1
|
356,928
|
||
3,600
|
EASTMAN CHEMICAL CO USD0.01
|
291,780
|
||
51,388
|
EBAY INC COMMON STOCK USD 0.001
|
2,820,687
|
||
19,929
|
EBIX. COM INC USD0.10
|
293,355
|
||
15,200
|
EDISON INTERNATIONAL NPV
|
709,156
|
||
12,100
|
EL PASO ELECTRIC CO NPV
|
424,831
|
||
8,370
|
ELECTRONICS FOR IMAGING INC USD0.01
|
324,170
|
||
65,612
|
EMC CORP USD0.01
|
1,650,142
|
||
35,500
|
ENDOCYTE INC USD0.001
|
379,495
|
||
17,900
|
ENDURANCE SPECIALTY HLDGS LTD USD1
|
1,050,193
|
||
3,600
|
ENERGEN CORP USD0.01
|
254,700
|
||
9,304
|
ENERSYS COM USD0.01
|
652,117
|
||
10,705
|
ENERSYS COM USD0.01
|
750,313
|
||
15,400
|
ENI ADR EACH REP 2 ORD (MGT)
|
746,746
|
||
5,633
|
ENSIGN GROUP INC COM NPV
|
249,767
|
||
11,900
|
ENTERGY CORP USD0.01
|
752,913
|
||
11,759
|
EOG RESOURCES INC USD0.01
|
1,973,631
|
||
9,600
|
EPR PROPERTIES SBI USD0.01
|
474,464
|
||
6,725
|
EQUIFAX INC USD1.25
|
464,630
|
||
6,532
|
EQUITY LIFESTYLE PROPERTIES INC COM STK USD0.01
|
238,287
|
||
27,649
|
ESTEE LAUDER COMPANIES INC USD0.01 A
|
2,082,523
|
||
26,000
|
EXELON CORP NPV
|
712,140
|
||
2,100
|
EXPRESS INC USD0.01
|
39,207
|
||
12,460
|
EXPRESS INC USD0.01
|
232,628
|
||
59,087
|
EXPRESS SCRIPTS HLDG CO USD0.01
|
4,150,271
|
||
7,700
|
EXXON MOBIL CORP COMMON STOCK USD 0
|
779,240
|
||
80,008
|
FACEBOOK INC USD0.000006 A
|
4,373,237
|
||
4,617
|
FAIR ISAAC CORP USD0.01
|
290,132
|
||
90,100
|
FAIRWAY GROUP HLDGS CORP USD0.00001 A
|
1,632,612
|
||
9,675
|
FEDERATED INVESTORS INC USD0.01 B
|
278,640
|
||
14,615
|
FIDELITY NATIONAL FINANCIAL INC USD0.0001 A
|
474,257
|
||
10,090
|
FIFTH STREET FINANCE CORP USD0.01
|
93,333
|
28,020
|
FINISH LINE INC CLASS'A'COM STK USD0.01
|
789,323
|
||
9,670
|
FIREEYE INC COMMON STOCK USD 0.0001
|
421,709
|
||
8,455
|
FIRST AMERICAN FINANCIAL CORP USD0.00001
|
238,431
|
||
1,050
|
FIRST CITIZENS BANCSHARES INC NRTH CLASS'A'SHS
|
234,077
|
||
19,619
|
FIRST MIDWEST BANCORP USD0.01
|
345,294
|
||
23,480
|
FIRST NIAGARA FINANCIAL GROUP INC COM
|
249,358
|
||
6,560
|
FIRST REPUBLIC BANK SAN FRANCISCO USD0.01
|
343,416
|
||
22,300
|
FIRSTENERGY CORP USD0.10
|
735,454
|
||
14,600
|
FLEETCOR TECHNOLOGIES INC USD0.001
|
1,710,682
|
||
45,660
|
FLEXTRONICS INTERNATIONAL ORD USD0.01
|
354,778
|
||
16,500
|
FLOWSERVE CORP USD1.25
|
1,303,005
|
||
15,200
|
FLUOR CORP(NEW) USD0.01
|
1,222,840
|
||
35,386
|
FMC TECHNOLOGIES INC USD0.01
|
1,847,503
|
||
12,952
|
FNB CORP PA USD0.01
|
163,454
|
||
13,180
|
FOOT LOCKER INC USD0.01
|
546,179
|
||
9,495
|
FORUM ENERGY TECHNOLOGIES INC USD0.01
|
268,329
|
||
10,600
|
FOSSIL GROUP INC USD0.01
|
1,271,364
|
||
73,700
|
FOSTER WHEELER AG CHF3
|
2,433,574
|
||
47,000
|
FRANCESCA'S HLDGS CORP USD0.01
|
865,270
|
||
20,500
|
FRANKLIN RESOURCES INC USD0.10
|
1,185,925
|
||
7,700
|
FREEPORT-MCMORAN COPPER & GOLD INC USD0.10
|
290,598
|
||
8,505
|
FRESH DEL MONTE PRODUCE NV USD0.01
|
240,692
|
||
9,095
|
FTI CONSULTING INC USD0.01
|
374,168
|
||
19,000
|
FULTON FINANCIAL CORP USD2.50
|
250,040
|
||
1,500
|
G&K SERVICES INC USD0.50 A
|
93,345
|
||
3,805
|
G&K SERVICES INC USD0.50 A
|
236,785
|
||
7,500
|
GAMESTOP CORPORATION NEW CLASS 'A' COM USD0.001
|
369,450
|
||
33,000
|
GAMESTOP CORPORATION NEW CLASS 'A' COM USD0.001
|
1,625,580
|
||
99,800
|
GANNETT CO INC USD1
|
2,972,044
|
||
23,599
|
GENERAL CABLE CORP USD0.01
|
698,294
|
||
19,400
|
GENERAL DYNAMICS CORP USD1
|
1,853,670
|
||
51,375
|
GILEAD SCIENCES INC USD0.001
|
3,860,831
|
||
6,500
|
GLOBAL PAYMENTS INC USD0.001
|
422,435
|
||
17,100
|
GLOBAL PAYMENTS INC USD0.001
|
1,111,329
|
||
21,815
|
GLOBE SPECIALTY METALS INC USD0.0001
|
392,888
|
||
24,600
|
GNC HLDGS INC USD0.001
|
1,437,870
|
||
6,800
|
GOLDMAN SACHS GROUP INC USD0.01
|
1,205,368
|
||
26,058
|
GOLDMAN SACHS GROUP INC USD0.01
|
4,619,041
|
||
69,300
|
GOODYEAR TIRE & RUBBER CO NPV
|
1,652,805
|
||
8,692
|
GOOGLE INC COMMON STOCK USD 0.001
|
9,741,208
|
||
24,000
|
GRAND CANYON EDUCATION INC USD0.01
|
1,046,400
|
||
9,480
|
GRANITE CONSTRUCTION USD0.01
|
332,843
|
||
99,655
|
GRAPHIC PACKAGING HLDG CO USD0.01
|
956,688
|
||
24,300
|
GREAT PLAINS ENERGY INC NPV
|
589,032
|
||
4,008
|
GREATBATCH INC COM STK USD0.001
|
177,314
|
||
13,400
|
GREEN MOUNTAIN COFFEE ROASTERS INC USD0.10
|
1,012,772
|
||
3,345
|
GRIFFON CORP USD0.25
|
44,187
|
||
3,695
|
GROUP 1 AUTOMOTIVE INC NPV
|
262,419
|
||
11,700
|
HANGER INC USD0.01
|
460,278
|
||
12,450
|
HANGER INC USD0.01
|
489,783
|
||
2,905
|
HANOVER INSURANCE GROUP INC USD0.01
|
173,458
|
||
23,400
|
HARLEY DAVIDSON USD0.01
|
1,620,216
|
||
113,500
|
HARMONIC INC USD0.001
|
837,630
|
||
10,655
|
HARRIS CORP USD1
|
743,826
|
||
18,393
|
HARSCO CORP USD1.25
|
515,556
|
||
12,100
|
HARTE-HANKS INC USD1
|
94,622
|
||
24,500
|
HARTFORD FINANCIAL SERVICES GROUP INC/THE COMMON
|
891,160
|
||
31,600
|
HARTFORD FINANCIAL SERVICES GROUP INC/THE COMMON
|
1,149,608
|
||
34,200
|
HATTERAS FINANCIAL CORP USD0.001
|
575,928
|
||
13,500
|
HCA HLDGS INC USD0.01
|
644,085
|
||
17,100
|
HCC INSURANCE HLDG USD1
|
792,842
|
||
21,500
|
HEALTH MANAGEMENT ASSOCIATES INC COMMON STOCK EUR
|
281,650
|
||
25,300
|
HEARTLAND PAYMENT SYSTEMS INC USD0.001
|
1,260,952
|
||
10,010
|
HEIDRICK & STRUGGLES USD0.01
|
201,601
|
||
14,860
|
HELIX ENERGY SOLUTIONS GROUP INC NPV
|
344,455
|
10,000
|
HELMERICH & PAYNE INC USD0.10
|
840,800
|
||
26,200
|
HELMERICH & PAYNE INC USD0.10
|
2,202,896
|
||
5,522
|
HERCULES TECHNOLOGY GROWTH CAP INC USD1
|
90,561
|
||
39,700
|
HERTZ GLOBAL HOLDINGS INC USD0.01
|
1,136,214
|
||
9,600
|
HESS CORP USD1
|
796,800
|
||
42,100
|
HEXCEL CORP USD0.01
|
1,881,449
|
||
9,880
|
HILLENBRAND INC NPV
|
290,670
|
||
3,919
|
HILL-ROM HOLDINGS INC COM STK NPV
|
162,011
|
||
8,806
|
HILLSHIRE BRANDS CO/THE COMMON STOCK USD 0.01
|
296,007
|
||
18,300
|
HOME DEPOT INC USD0.05
|
1,506,822
|
||
15,500
|
HUNT(J.B.)TRANSPORT SERVICES INC USD0.01
|
1,198,150
|
||
45,770
|
HUNTINGTON BANCSHARES INC NPV
|
443,969
|
||
5,175
|
HUNTINGTON INGALLS INDUSTRIES INC USD0.01 WI
|
465,802
|
||
13,614
|
HUNTINGTON INGALLS INDUSTRIES INC USD0.01 WI
|
1,225,396
|
||
7,595
|
IAC/INTERACTIVE CORP COM STK USD0.001
|
521,701
|
||
15,100
|
IAC/INTERACTIVE CORP COM STK USD0.001
|
1,037,219
|
||
15,600
|
IAC/INTERACTIVE CORP COM STK USD0.001
|
1,071,564
|
||
12,145
|
ICON PLC COMMON STOCK USD 0.06
|
490,779
|
||
16,500
|
IGATE CORP USD0.01
|
662,640
|
||
31,412
|
ILLUMINA INC USD0.01
|
3,474,795
|
||
30,800
|
IMMUNOGEN INC USD0.01
|
451,836
|
||
93,417
|
INDUSTRIA DE DISENO TEXTIL SA UNSP ADR EACH REP
|
3,084,629
|
||
2,215
|
INFINITY PROPERTY & CASUALTY CORP COM NPV
|
158,926
|
||
20,475
|
INGRAM MICRO INC USD0.01 A
|
480,344
|
||
4,300
|
INGREDION INC USD0.01
|
296,184
|
||
6,450
|
INSIGHT ENTERPRISE INC USD0.01
|
146,480
|
||
9,600
|
INSIGHT ENTERPRISE INC USD0.01
|
218,016
|
||
9,900
|
INTEGRA LIFESCIENCES HLDGS CORP USD0.01
|
472,329
|
||
25,305
|
INTEGRATED DEVICE TECHNOLOGY INC USD0.001
|
257,858
|
||
60,068
|
INTEGRATED DEVICE TECHNOLOGY INC USD0.001
|
612,093
|
||
6,000
|
INTERNATIONAL PAPER CO USD1
|
294,180
|
||
4,155
|
INTERNATIONAL SPEEDWAY CORP USD0.01 A
|
147,461
|
||
49,900
|
INTERPUBLIC GROUP COMPANIES INC USD0.10
|
883,230
|
||
24,700
|
INTERXION HLDG NV EUR0.1
|
583,167
|
||
23,400
|
INVESCO LTD USD0.20
|
851,760
|
||
56,700
|
ISIS PHARMACEUTICAL USD0.001
|
2,258,928
|
||
82,200
|
JANUS CAPITAL GROUP INC COM STK USD0.01
|
1,016,814
|
||
42,097
|
JDS UNIPHASE CORP USD0.008
|
546,419
|
||
16,100
|
JOHNSON & JOHNSON COMMON STOCK USD 1
|
1,474,599
|
||
19,900
|
JPMORGAN CHASE & CO COMMON STOCK USD 1
|
1,163,752
|
||
19,400
|
KANSAS CITY SOUTHERN USD0.01
|
2,406,473
|
||
19,760
|
KAR AUCTION SERVICES INC USD0.01
|
588,848
|
||
36,100
|
KBR INC USD0.001
|
1,154,117
|
||
6,000
|
KENNAMETAL INC CAP STK USD1.25
|
312,420
|
||
19,000
|
KEY ENERGY SERVICES INC USD0.10
|
150,100
|
||
89,000
|
KEYCORP USD1
|
1,194,380
|
||
13,800
|
KIMBERLY-CLARK CORP USD1.25
|
1,452,726
|
||
17,432
|
KINDRED HEALTHCARE INC USD0.25
|
344,108
|
||
10,850
|
KNOLL INC COM STK USD1
|
198,664
|
||
16,500
|
KROGER CO USD1
|
652,245
|
||
2,600
|
LAKELAND FINANCIAL CORP USD0.01
|
101,400
|
||
56,150
|
LAM RESEARCH CORP USD0.001
|
3,057,368
|
||
2,840
|
LANDSTAR SYSTEMS INC USD0.01
|
164,152
|
||
21,000
|
LAS VEGAS SANDS CORP USD0.001
|
1,656,270
|
||
52,800
|
LAS VEGAS SANDS CORP USD0.001
|
4,164,336
|
||
7,225
|
LEAR CORP COM NEW WI
|
585,008
|
||
36,466
|
LEVEL 3 COMMUNICATIONS INC USD0.01
|
1,209,577
|
||
4,400
|
LEXMARK INTERNATIONAL INC USD0.01 A
|
156,288
|
||
11,925
|
LEXMARK INTERNATIONAL INC USD0.01 A
|
423,576
|
||
11,200
|
LIBERTY MEDIA CORP (NEW) USD0.01 A
|
1,640,240
|
||
4,257
|
LIFE TIME FITNESS INC USD0.02
|
200,079
|
||
6,190
|
LIFEPOINT HOSPITALS INC USD0.01
|
327,080
|
||
28,900
|
LILLY(ELI)& CO NPV
|
1,473,900
|
||
20,800
|
LINCOLN NATIONAL CORP USD1.25
|
1,073,696
|
||
24,002
|
LINCOLN NATIONAL CORP USD1.25
|
1,238,983
|
9,300
|
LINDSAY CORP USD1
|
769,575
|
||
16,981
|
LINKEDIN CORP USD0.0001 A
|
3,681,990
|
||
5,376
|
LINNCO LLC USD0.01(REPR LTD LIABILITY CO INT)
|
165,635
|
||
18,515
|
LIVE NATION ENTERTAINMENT INC USD0.01
|
365,856
|
||
13,200
|
LOCKHEED MARTIN CORP USD1
|
1,962,312
|
||
31,300
|
LORILLARD INC USD0.01
|
1,586,284
|
||
31,700
|
LOWES COMPANIES INC USD0.50
|
1,570,735
|
||
8,590
|
LSB INDUSTRIES INC USD0.10
|
352,362
|
||
31,825
|
LSI CORP COMMON STOCK EUR 0.01
|
350,712
|
||
181,300
|
LSI CORP COMMON STOCK EUR 0.01
|
1,997,926
|
||
7,300
|
M & T BANK CORP USD5
|
849,866
|
||
2,000
|
MACK CALI REALTY CORP USD0.01
|
42,960
|
||
18,700
|
MADISON SQUARE GARDEN CO/THE
|
1,076,746
|
||
13,980
|
MAGNACHIP SEMICONDUCTOR CORP USD0.01
|
272,610
|
||
65,885
|
MAIDEN HLDGS LTD USD0.01
|
727,370
|
||
4,705
|
MANPOWERGROUP INC COM
|
403,971
|
||
9,996
|
MASTERCARD INC USD0.0001
|
8,351,258
|
||
79
|
MATERION CORP USD1
|
2,437
|
||
33,200
|
MATTEL INC USD1
|
1,579,656
|
||
3,600
|
MATTHEWS INTL CORP USD1 A
|
153,396
|
||
76,895
|
MAXIM INTEGRATED PRODUCTS USD0.001
|
2,146,139
|
||
5,550
|
MAXIMUS INC NPV
|
244,145
|
||
5,776
|
MB FINANCIAL INC USD0.01
|
185,352
|
||
67,800
|
MCDERMOTT INTERNATIONAL INC USD1
|
621,048
|
||
9,800
|
MCKESSON CORP USD0.01
|
1,584,072
|
||
10,500
|
MEADWESTVACO CORPORATION COM NPV
|
387,765
|
||
14,900
|
MEDICINES CO USD0.001
|
575,438
|
||
6,705
|
MENS WEARHOUSE INC USD0.01
|
342,491
|
||
26,220
|
MERCK & CO INC COMMON STOCK USD 0.5
|
1,323,848
|
||
21,800
|
METLIFE INC USD0.01
|
1,175,456
|
||
68,700
|
MFA FINANCIAL INC COM STK USD0.01
|
498,762
|
||
77,425
|
MFA FINANCIAL INC COM STK USD0.01
|
562,106
|
||
9,300
|
MICHAEL KORS HOLDINGS LTD COMMON STOCK USD 0
|
755,067
|
||
20,344
|
MICHAEL KORS HOLDINGS LTD COMMON STOCK USD 0
|
1,651,729
|
||
2,673
|
MICROSEMI USD0.20
|
66,691
|
||
33,100
|
MILLER(HERMAN) INC USD0.20
|
981,062
|
||
4,600
|
MINERALS TECHNOLOGIES INC USD0.10
|
276,322
|
||
10,300
|
MOHAWK INDUSTRIES USD0.01
|
1,533,670
|
||
94,542
|
MONDELEZ INTERNATIONAL INC COMMON STOCK USD 0
|
3,350,568
|
||
38,343
|
MONSANTO CO USD0.01
|
4,468,877
|
||
11,200
|
MONSTER BEVERAGE CORP USD0.005
|
759,024
|
||
5,623
|
MOOG INC CLASS'A'(LIM.V)USD1
|
382,027
|
||
32,200
|
MOSAIC CO(THE) USD0.01
|
1,522,094
|
||
17,570
|
MRC GLOBAL INC USD0.01
|
566,808
|
||
2,275
|
MUELLER INDUSTRIES INC USD0.01
|
143,348
|
||
9,300
|
MURPHY OIL CORP COM USD1
|
603,384
|
||
3,900
|
MYERS INDUSTRIES INC NPV
|
82,719
|
||
25,400
|
MYLAN INC USD0.50
|
1,102,360
|
||
38,500
|
MYRIAD GENETICS INC USD0.01
|
807,730
|
||
42,700
|
NABORS INDUSTRIES USD0.001
|
725,473
|
||
15,815
|
NATIONSTAR MTG HLDGS INC USD0.01
|
584,522
|
||
14,395
|
NAVIGANT CONSULTING INC USD0.001
|
276,384
|
||
32,320
|
NAVIGANT CONSULTING INC USD0.001
|
620,544
|
||
3,500
|
NEENAH PAPER INC USD0.01
|
149,695
|
||
9,600
|
NETAPP INC COMMON STOCK USD 0.001
|
394,944
|
||
6,639
|
NETFLIX INC COMMON STOCK USD 0.001
|
2,444,281
|
||
34,800
|
NIELSEN NV COMMON STOCK USD 0.07
|
1,596,972
|
||
60,100
|
NII HOLDINGS INC COM STK USD0.001
|
165,275
|
||
57,727
|
NIKE INC NPV B
|
4,553,506
|
||
14,400
|
NORDSTROM INC NPV
|
889,920
|
||
3,400
|
NORTHROP GRUMMAN CORP USD1
|
389,674
|
||
16,900
|
NORTHROP GRUMMAN CORP USD1
|
1,936,909
|
||
18,800
|
NOVARTIS AG ADR EACH REPR 1 CHF0.50(REGD)
|
1,511,144
|
||
17,883
|
NOVO-NORDISK AS ADR EACH REPR 1 CLS'B'
|
3,304,063
|
||
4,555
|
NU SKIN ENTERPRISES INC USD0.001 A
|
629,592
|
10,400
|
NXP SEMICONDUCTORS NV EUR0.20
|
477,672
|
||
7,600
|
OCCIDENTAL PETROLEUM CORP COM USD0.20
|
727,624
|
||
20,685
|
OCWEN FINANCIAL CORP USD0.01
|
1,146,983
|
||
7,100
|
OLD DOMINION FREIGHT LINE INC USD0.10
|
376,442
|
||
6,314
|
OMEGA HEALTHCARE INVESTORS USD0.10
|
188,157
|
||
13,985
|
OMNICARE INC USD1
|
844,135
|
||
19,600
|
OMNICARE INC USD1
|
1,183,056
|
||
57,790
|
ON SEMICONDUCTOR CORP USD0.01
|
476,190
|
||
139,400
|
ORIENT EXPRESS HOTELS LTD USD0.01
|
2,106,334
|
||
4,990
|
OWENS & MINOR INC COM STK USD2
|
182,434
|
||
22,800
|
PACKAGING CORP OF AMERICA USD0.01
|
1,451,584
|
||
30,500
|
PALL CORP USD0.10
|
2,603,175
|
||
8,700
|
PANTRY INC USD0.01
|
145,986
|
||
3,415
|
PAREXEL INTERNATIONAL CORP USD0.01
|
154,290
|
||
10,050
|
PARKER-HANNIFIN CORP USD0.50
|
1,292,832
|
||
3,035
|
PARTNERRE USD1
|
319,980
|
||
31,100
|
PATTERSON UTI ENERGY INC USD0.01
|
787,452
|
||
2,575
|
PBF ENERGY INC USD0.001 A
|
81,010
|
||
15,300
|
PEP BOYS MANNY MOE & JACK USD1
|
185,742
|
||
19,361
|
PERRIGO CO PLC COMMON STOCK USD 0
|
2,971,139
|
||
45,800
|
PFIZER INC USD0.05
|
1,402,854
|
||
20,300
|
PG&E CORP NPV
|
826,921
|
||
13,100
|
PHH CORP NPV
|
318,985
|
||
35,640
|
PHH CORP NPV
|
867,834
|
||
21,900
|
PIER 1 IMPORTS INC USD1
|
505,452
|
||
12,900
|
PINNACLE WEST CAPITAL CORP USD2.50
|
682,668
|
||
15,300
|
PINNACLE WEST CAPITAL CORP USD2.50
|
809,676
|
||
50,400
|
PITNEY BOWES INC USD1
|
1,174,320
|
||
8,300
|
PLANTRONICS INC USD0.01
|
385,535
|
||
13,650
|
PLATINUM UNDERWRITERS HLDGS LTD SHS
|
836,472
|
||
14,335
|
PNM RESOURCES INC USD5
|
345,760
|
||
5,600
|
POLARIS INDUSTRIES INC USD0.01
|
815,584
|
||
11,700
|
POLARIS INDUSTRIES INC USD0.01
|
1,703,988
|
||
1,500
|
PPG INDUSTRIES INC USD1.666
|
284,490
|
||
14,300
|
PRECISION CASTPARTS CORP COM NPV
|
3,850,990
|
||
16,884
|
PRECISION CASTPARTS CORP COM NPV
|
4,546,861
|
||
9,200
|
PRESTIGE BRANDS HOLDINGS INC COMMON STOCK USD 0.01
|
329,360
|
||
1,400
|
PRICELINE GROUP INC/THE COM USD
|
1,627,360
|
||
5,304
|
PRICELINE GROUP INC/THE COM USD
|
6,165,370
|
||
22,600
|
PRINCIPAL FINANCIAL GROUP USD0.01
|
1,114,406
|
||
7,120
|
PROGRESS SOFTWARE CORP USD0.01
|
183,910
|
||
4,099
|
PROSPERITY BANCSHARES INC USD1
|
260,819
|
||
5,500
|
PROVIDENCE SERVICE CORP USD0.001
|
141,460
|
||
12,500
|
PRUDENTIAL FINANCIAL INC USD0.01
|
1,152,750
|
||
9,100
|
PTC INC
|
322,049
|
||
20,600
|
PUBLIC SERVICE ENTERPRISE GROUP INC NPV
|
660,024
|
||
18,700
|
QEP RESOURCES INC USD0.01
|
573,155
|
||
5,075
|
QTS REALTY TRUST INC REIT USD
|
126,977
|
||
12,827
|
RALPH LAUREN CORP USD0.01 A
|
2,270,636
|
||
8,425
|
RAYMOND JAMES FINANCIAL INC USD0.01
|
441,049
|
||
29,000
|
RAYMOND JAMES FINANCIAL INC USD0.01
|
1,518,150
|
||
20,200
|
RAYTHEON CO USD0.01
|
1,843,250
|
||
6,300
|
REALOGY HLDGS CORP USD0.01
|
311,661
|
||
55,930
|
RED HAT USD0.0001
|
3,134,317
|
||
15,950
|
REGENERON PHARMACEUTICALS INC USD0.001
|
4,390,078
|
||
109,000
|
REGIONS FINANCIAL CORP (NEW) USD0.01
|
1,081,280
|
||
3,100
|
REINSURANCE GROUP OF AMERICA USD0.01
|
239,971
|
||
6,445
|
REINSURANCE GROUP OF AMERICA USD0.01
|
498,907
|
||
4,100
|
RELIANCE STEEL & ALUMINIUM NPV
|
310,944
|
||
9,840
|
RENT-A-CENTER INC USD0.01
|
330,329
|
||
8,400
|
REPUBLIC SERVICES INC USD0.01
|
281,064
|
||
220,250
|
RF MICRO DEVICES INC NPV
|
1,136,490
|
||
54,350
|
RITE AID CORP USD1
|
275,011
|
||
262,900
|
RITE AID CORP USD1
|
1,330,274
|
||
22,000
|
ROBERT HALF INTERNATIONAL INC USD1
|
923,780
|
38,300
|
ROBERT HALF INTERNATIONAL INC USD1
|
1,608,217
|
||
1,855
|
ROCK-TENN CO COMMON STOCK USD 0.01
|
194,794
|
||
8,455
|
ROSETTA RESOURCES INC USD0.001
|
406,178
|
||
10,200
|
ROSS STORES INC USD0.01
|
764,286
|
||
35,100
|
ROWAN COMPANIES PLC SHS CL A
|
1,241,136
|
||
66,200
|
ROYAL CARIBBEAN CRUISES USD0.01
|
3,155,754
|
||
11,100
|
ROYAL DUTCH SHELL ADR EACH REPR 2'A'SHS
|
791,097
|
||
28,700
|
RPX CORP USD0.0001
|
485,030
|
||
29,000
|
RTI INTERNATIONAL METALS INC USD0.01
|
992,090
|
||
22,200
|
RUBY TUESDAY INC COM USD0.01
|
153,846
|
||
3,700
|
RYDER SYSTEM INC USD0.50
|
272,986
|
||
4,900
|
S & T BANCORP INC COM STK USD2.50
|
124,019
|
||
83,786
|
SALESFORCE.COM INC USD0.001
|
4,624,149
|
||
11,000
|
SALIX PHARMACEUTICALS LTD COM NPV
|
989,340
|
||
28,152
|
SCHLUMBERGER LTD COMMON STOCK USD 0.01
|
2,545,574
|
||
81,500
|
SEACHANGE INTERNATIONAL INC USD0.01
|
991,040
|
||
6,200
|
SEACOR HOLDINGS INC COMMON STOCK USD 0.01
|
565,440
|
||
34,900
|
SEAGATE TECHNOLOGY PLC USD0.00001
|
1,959,984
|
||
44,400
|
SEATTLE GENETICS INC USD0.01
|
1,771,116
|
||
19,395
|
SELECT MEDICAL HLDGS CORP USD0.001
|
225,176
|
||
3,115
|
SENSIENT TECHNOLOGIES CORP USD0.10
|
151,140
|
||
8,590
|
SERVICE CORPORATION INTERNATIONAL USD1
|
155,737
|
||
11,051
|
SILVER BAY REALTY TRUST CORP USD0.001
|
176,816
|
||
76,600
|
SINCLAIR BROADCAST GROUP INC USD0.01 A
|
2,736,918
|
||
5,250
|
SKECHERS USA INC USD0.001 A
|
173,933
|
||
38,300
|
SKYWORKS SOLUTIONS INCCOM
|
1,093,848
|
||
39,500
|
SLM CORP COM STK USD0.20
|
1,038,060
|
||
18,397
|
SONOCO PRODUCTS CO NPV
|
767,523
|
||
33,600
|
SOTHEBYS INC LTD VTG USD0.10 A
|
1,787,520
|
||
10,900
|
SPARTAN STORES INC USD0.01
|
264,652
|
||
33,969
|
SPLUNK INC USD0.001
|
2,332,651
|
||
12,589
|
SPROUTS FARMERS MARKETS INC USD0.001
|
483,795
|
||
12,800
|
ST JUDE MEDICAL INC USD0.10
|
796,160
|
||
25,900
|
ST JUDE MEDICAL INC USD0.10
|
1,610,980
|
||
14,250
|
STAG INDUSTRIAL INC USD0.01
|
291,983
|
||
2,260
|
STANCORP FINANCIAL GROUP NPV
|
149,725
|
||
6,798
|
STANDEX INTERNATIONAL CORP USD1.5
|
427,458
|
||
26,371
|
STARBUCKS CORP NPV
|
2,067,223
|
||
11,200
|
STARZ SERIES A COMMON STOCK USD0.01 A (LIBERTY
|
327,488
|
||
64,600
|
STEELCASE INC NPV
|
1,031,016
|
||
4,900
|
STERIS CORP NPV
|
235,445
|
||
98,300
|
STILLWATER MINING CO USD0.01
|
1,213,022
|
||
13,995
|
STOCK BUILDING SUPPLY HOLDINGS INC COMMON STOCK
|
254,989
|
||
29,300
|
SUNTRUST BANKS INC USD1
|
1,078,533
|
||
28,600
|
SUPERIOR ENERGY SERVICES INC USD0.001
|
761,046
|
||
2,630
|
SVB FINANCIAL GROUP USD0.001
|
275,782
|
||
67,362
|
SWATCH GROUP ADR EACH REP 0.05 ORD UNSP
|
2,236,418
|
||
2,300
|
SY BANCORP INC NPV
|
73,416
|
||
8,856
|
SYKES ENTERPRISES INC USD0.01
|
193,149
|
||
9,465
|
SYKES ENTERPRISES INC USD0.01
|
206,432
|
||
16,660
|
SYMETRA FINANCIAL CORP USD0.01
|
315,874
|
||
26,950
|
SYMMETRY MEDICAL INC USD0.0001
|
271,656
|
||
8,625
|
SYNNEX CORP USD0.001
|
581,325
|
||
6,431
|
TABLEAU SOFTWARE INC USD0.0001
|
443,289
|
||
58,500
|
TALISMAN ENERGY INC COM NPV
|
681,525
|
||
36,910
|
TCF FINANCIAL USD0.01
|
599,788
|
||
11,113
|
TCP CAPITAL CORP USD0.001
|
186,476
|
||
10,500
|
TECK RESOURCES LTD CLASS'B'SUB-VTG COM NPV
|
277,548
|
||
22,900
|
TELEPHONE & DATA SYSTEMS INC USD0.01
|
590,362
|
||
4,345
|
TELETECH HLDGS USD0.01
|
104,019
|
||
3,670
|
TEMPUR SEALY INTERNATIONAL INC USD0.01
|
198,033
|
||
6,600
|
TERADATA CORPORATION USD0.01
|
300,234
|
||
17,265
|
TERADYNE INC USD0.125
|
304,209
|
||
11,130
|
TEREX CORP USD0.01
|
467,349
|
||
7,708
|
TESLA MOTORS INC USD0.001
|
1,159,129
|
8,520
|
THOR INDUSTRIES USD0.10
|
472,519
|
||
5,500
|
TIDEWATER INC USD0.10
|
325,985
|
||
24,700
|
TIMKEN CO/THE COMMON STOCK USD 0
|
1,360,229
|
||
54,500
|
TITAN INTL INC USD1
|
980,183
|
||
47,693
|
TJX COS INC/THE COMMON STOCK USD 1
|
3,039,475
|
||
1,200
|
TOMPKINS FINANCIAL CORP USD0.10
|
61,668
|
||
4,060
|
TORCHMARK CORP USD1
|
317,979
|
||
12,300
|
TOTAL S.A ADR EACH CNV INTO 1 SHR
|
761,830
|
||
7,996
|
TRANSDIGM GROUP INC USD0.01
|
1,287,516
|
||
13,800
|
TRANSOCEAN LTD CHF15
|
681,996
|
||
11,800
|
TRAVELERS COS INC/THE
|
1,068,372
|
||
85,100
|
TRIMBLE NAVIGATION NPV
|
2,952,970
|
||
13,086
|
TRIPADVISOR INC USD0.001
|
1,083,913
|
||
115,100
|
TRIQUINT SEMI CONDUCTOR INC USD0.001
|
959,934
|
||
16,900
|
TRW AUTOMOTIVE HLDGS CORP USD0.01
|
1,257,191
|
||
52,300
|
TW TELECOM INC USD0.01 A
|
1,593,581
|
||
14,263
|
TWITTER INC COMMON STOCK USD 0.000005
|
907,840
|
||
88,060
|
TWO HARBORS INVESTMENT CORP USD0.0001
|
817,197
|
||
8,300
|
UGI CORP COM NPV
|
346,463
|
||
21,125
|
UNDER ARMOUR INC USD0.000333 A
|
1,844,213
|
||
35,533
|
UNIFI INC USD0.1
|
967,919
|
||
14,900
|
UNITED STATES CELLULAR CORP USD1
|
623,118
|
||
12,972
|
UNITED STATIONERS INC USD0.10
|
597,101
|
||
30,881
|
UNITED TECHNOLOGIES CORP USD1
|
3,514,258
|
||
22,500
|
UNITEDHEALTH GROUP INC USD0.01
|
1,694,250
|
||
35,826
|
UNITEDHEALTH GROUP INC USD0.01
|
2,697,698
|
||
7,350
|
UNIVERSAL CORP NPV
|
401,310
|
||
10,700
|
UNIVERSAL HEALTH SERVICES INC CLASS'B'COM USD0.01
|
869,482
|
||
2,700
|
UNS ENERGY CORP NPV
|
161,595
|
||
34,000
|
UNUM GROUP COM
|
1,192,720
|
||
5,660
|
URS CORP USD0.01
|
301,112
|
||
32,543
|
URS CORP USD0.01
|
1,731,288
|
||
11,740
|
UTI WORLDWIDE INC ORD NPV
|
206,154
|
||
6,035
|
VALASSIS COMMUNICATIONS INC COMMON STOCK EUR 0.01
|
208,570
|
||
19,619
|
VALIDUS HOLDING LTD USD0.175
|
790,465
|
||
31,200
|
VALSPAR CORP USD0.50
|
2,224,248
|
||
29,200
|
VALUECLICK INC USD0.001
|
682,404
|
||
17,300
|
VANTIV INC USD0.00001 A
|
564,153
|
||
6,990
|
VCA ANTECH INC USD0.01
|
219,206
|
||
8,400
|
VECTREN CORP COM NPV
|
298,200
|
||
44,385
|
VERTEX PHARMACEUTICAL USD0.01
|
3,297,806
|
||
5,818
|
VIAD CORP COM STOCK USD1.5
|
162,206
|
||
23,175
|
VISA INC USD0.0001 'A'
|
5,160,609
|
||
66,400
|
VISHAY INTL USD0.10
|
880,464
|
||
64,100
|
VIVUS INC NPV
|
582,028
|
||
36,123
|
VMWARE INC USD0.01 A
|
3,240,594
|
||
7,139
|
WADDELL & REED FINANCIAL INC USD0.01 A
|
464,892
|
||
27,500
|
WADDELL & REED FINANCIAL INC USD0.01 A
|
1,790,800
|
||
33,200
|
WADDELL & REED FINANCIAL INC USD0.01 A
|
2,161,984
|
||
24,490
|
WALKER & DUNLOP INC USD0.01
|
396,003
|
||
51,163
|
WALT DISNEY(HLDG)CO DISNEY USD0.01
|
3,952,853
|
||
13,265
|
WALTER INVESTMENT MANAGEMENT CORP USD0.01
|
469,050
|
||
56,100
|
WEB.COM GROUP INC
|
1,783,419
|
||
16,100
|
WELLPOINT INC COM STK USD0.01
|
1,487,479
|
||
40,500
|
WERNER ENTERPRISES INC USD0.01
|
1,001,565
|
||
1,995
|
WESCO INTERNATIONAL INC USD0.01
|
181,685
|
||
15,800
|
WESCO INTERNATIONAL INC USD0.01
|
1,438,906
|
||
22,800
|
WESTERN DIGITAL CORP USD0.01
|
1,919,760
|
||
10,705
|
WESTERN REFINING INC USD0.01
|
453,999
|
||
7,500
|
WEX INC USD0.01
|
742,725
|
||
11,700
|
WHITING PETROLEUM CORP USD0.001
|
723,879
|
||
65,533
|
WHOLE FOODS MARKET INC NPV
|
3,789,773
|
||
31,660
|
WINDSTREAM HOLDINGS INC USD0.0001
|
260,562
|
||
20,802
|
WORKDAY INC USD0.001
|
1,729,894
|
||
20,190
|
WORLD FUEL SERVICES CORP USD0.01
|
872,158
|
1,300
|
WSFS FINANCIAL CORP USD0.01
|
100,789
|
||
13,800
|
WYNDHAM WORLDWIDE USD0.01
|
1,016,922
|
||
36,900
|
XILINX INC USD0.01
|
1,694,448
|
||
18,000
|
ZIMMER HOLDINGS INC USD0.01
|
1,681,020
|
||
Total Corporate Stock
|
$
|
643,479,327
|
||
Corporate Debt Securities
|
||||
200,000
|
WFRBS COML MTG TR 2011-C5 3.667% MTG BDS
|
203,226
|
||
75,000
|
WELLPOINT INC 7.00% BDS 15/FEB/2019 USD1000
|
90,971
|
||
100,000
|
WASTE MANAGEMENT INC 7% SNR NOTES 15/JUL/2028
|
124,224
|
||
75,000
|
VERIZON COMMUNICATIONS INC 6.9% BDS 15/APR/2038
|
90,347
|
||
200,000
|
VENTAS REALTY LTD 2% SR NT 15/FEB/2018 USD
|
198,112
|
||
125,000
|
US BANCORP 4.2% NTS 15/MAY/2014 USD1000
|
127,432
|
||
50,000
|
UNITED DOM RLTY 5.13%15/JAN/2014
|
50,611
|
||
125,000
|
TUSCON ELECTRIC POWER 5.15% BDS 15/NOV/2021
|
134,689
|
||
50,000
|
TIME WARNER ENT 8.375% SUB NTS 15/JUL/2033 USD1000
|
56,405
|
||
25,000
|
TIME WARNER CABLE 7.5% SNR NTS 01/APR/2014 USD
|
25,884
|
||
100,000
|
TENNESSEE GAS PIPELINE
|
129,372
|
||
75,000
|
TELECOM ITALIA CAPITAL SA CALLABLE NOTES FIXED 6%
|
66,106
|
||
75,000
|
TELECOM ITALIA CAPITAL 7.175% BDS 18/JUN/2019
|
84,382
|
||
120,000
|
SUTTER HEALTH. CA 2.286% BDS 15/AUG/2053 USD
|
111,518
|
||
100,000
|
SPECTRA ENERGY CAPITAL LLC 7.5% BDS 15/SEP/2038
|
117,197
|
||
75,000
|
SOUTHERN POWER COMPANIES 4.875% NTS 15/JUL/2015
|
81,258
|
||
100,000
|
SOUTHERN NATURAL GAS CO 7.35% NTS 15/FEB/2031
|
121,939
|
||
75,000
|
SOUTHERN COPPER CORP 7.5% SNR NTS 27/JUL/2035
|
80,561
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-9 2008-9 B FLOATING
|
35,583
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-8 2008-8 B FLOATING
|
35,361
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-7 2008-7 B FLOATING
|
33,646
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-6 2008-6 B FLOATING
|
33,521
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-5 2008-5 B FLOATING
|
34,400
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-4 2008-4 B FLOATING
|
33,378
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-3 2008-3 B FLOATING
|
31,413
|
||
35,000
|
SLM STUDENT LOAN TRUST 2008-2 2008-2 B FLOATING
|
30,631
|
||
35,000
|
SLM STUDENT LOAN TRUST 2007-6 2007-6 B FLOATING
|
30,760
|
||
130,000
|
SLM STUDENT LOAN TRUST 2006-8 FR A/BKD 25/JAN/2041
|
113,451
|
||
130,000
|
SLM STUDENT LOAN TRUST 2006-2 A-6 VARIABLE
|
113,422
|
||
260,000
|
SLM STUDENT LOAN TRUST 2004-1 FLTG RATE NTS
|
251,403
|
||
22,512
|
SLM STUDENT LOAN TRUST
|
20,158
|
||
125,000
|
SIMON PROPERTY GROUP INC 5.875% BDS 01/MAR/2017
|
142,641
|
||
150,000
|
ROYAL BANK OF SCOT 2.55% BDS 18/SEP/2015 USD1000
|
154,508
|
||
22,000
|
ROHM&HAAS HLDGS 6% 15/SEP/2017
|
25,346
|
||
125,000
|
PUBLIC SVC CO NEW MEXICO SR UNSEC NT 21
|
135,182
|
||
75,000
|
PETROBRAS INTERNATIONAL FINANCE CO NOTES FIXED
|
86,695
|
||
25,000
|
PETROBRAS INTERNATIONAL FINANCE CO - PIFCO
|
24,412
|
||
50,000
|
PETROBRAS GLOBAL FINANCE BV FRN 20/MAY/2016
|
49,983
|
||
100,000
|
PANHANDLE EASTERN PIPE LINE CO 7% SNR NTS
|
116,016
|
||
50,000
|
ONTARIO(PROVINCE OF) 5.45% BDS 27/APR/2016 USD5000
|
55,809
|
||
125,000
|
NORTH SHORE-LONG ISLAND JEWISH HEALTH CARE INC
|
109,448
|
||
229,854
|
NCUA GUARANTEED NOTES TRUST 2011-C1 II-A VARIABLE
|
230,296
|
||
105,780
|
NCUA GUARANTEED NOTES TRUST 2010-R3 II-A VARIABLE
|
106,936
|
169,254
|
NCUA GTD NTS TST 2 FR CMO 06/NOV/2017 USD1000
|
169,532
|
||
257,978
|
NCUA GTD NTS TRUST 2011-R2 VAR MTG BDS 06/FEB/2020
|
259,632
|
||
277,507
|
NCUA GTD NTS TRUST 2011-R1 VAR MTG BDS 08/JAN/2020
|
278,436
|
||
133,058
|
NCUA GTD NTS TRUST 2010-R2 VAR MTG BDS 05/NOV/2020
|
133,811
|
||
198,962
|
NCUA GTD NTS TRUST 2010-R1 FR MTG BDS 07/OCT/2020
|
200,122
|
||
120,532
|
NCUA GTD NTS MASTER TRUST VAR MTG BDS 08/DEC/2020
|
121,319
|
||
50,000
|
NBCUNIVERSAL MEDIA LLC NOTES FIXED 5.15%
|
56,324
|
||
50,000
|
MORGAN STANLEY 7.3% BDS 13/MAY/2019 USD100000
|
61,207
|
||
125,000
|
MORGAN STANLEY 6.6250% 01/APR/2018
|
148,332
|
||
125,000
|
MORGAN STANLEY 5.45% NTS 09/JAN/2017 USD1000
|
141,880
|
||
100,000
|
LIBERTY PROP LP 53117CAJ1 5.125 02/MAR/2015
|
104,970
|
||
75,000
|
KROGER CO 7.5% BDS 15/JAN/2014 USD1000
|
77,765
|
||
150,000
|
KOREA DEVELOPMENT BANK 8% BDS 23/JAN/2014 USD1000
|
157,294
|
||
100,000
|
JPMORGAN CHASE & CO FR CAP SECS 'U' 15/JAN/2087
|
74,192
|
||
75,000
|
JPMORGAN CHASE & CO 4.5% GTD SUB NTS 24/JAN/2022
|
80,802
|
||
50,000
|
JP MORGAN CHASE BK NEW YORK NY 6% BDS 01/OCT/2017
|
57,956
|
||
50,000
|
IUNITED DOMINION RLTY TR
|
53,292
|
||
120,000
|
HSBC HLDGS 4.875% BDS 14/JAN/2022 USD1000
|
132,208
|
||
50,000
|
HEALTHCARE REALTY TRUST INC 6.5% SNR NTS
|
57,553
|
||
125,000
|
HEALTH CARE REIT INC 6.125% BDS 15/APR/2020
|
142,302
|
||
185,000
|
HCP INC BDS 15/SEP/2016 USD1000
|
211,762
|
||
170,000
|
GSRPM MTG LN TR 3.707% BDS 10/AUG/2044 USD
|
173,716
|
||
50,000
|
GOLDMAN SACHS GROUP INC/THE MEDIUM TERM NOTE FIXED
|
57,462
|
||
175,000
|
GOLDMAN SACHS GROUP INC 6.15% BDS 01/APR/2018
|
203,359
|
||
125,000
|
GOLDMAN SACHS GROUP INC 5.375% 15/MAR/2020
|
140,994
|
||
100,000
|
GENERAL ELECTRIC CAPITAL CORP FLTG RATE MTN
|
90,420
|
||
75,000
|
GENERAL ELECTRIC CAPITAL CORP 6.875% BDS
|
98,869
|
||
100,000
|
GENERAL ELECTRIC CAPITAL CORP 5.875% BDS
|
116,637
|
||
100,000
|
GENERAL ELECTRIC CAPITAL CORP 3.15% BDS
|
97,769
|
||
75,000
|
GENERAL ELEC CAP CORP 5.50% 08/JAN/2020
|
87,870
|
||
100,000
|
FIRST CHICAGO NBD CORP FLTG RATE NOTES 01/FEB/2027
|
81,634
|
||
100,000
|
ERP OPERATING FLTG RTE NTS 13/APR/2015 USD1000
|
108,785
|
||
100,000
|
ENTERGY TEX INC 3.6% BDS 01/JUN/2015 USD1000
|
103,599
|
||
150,000
|
EL PASO ELECTRIC CO 3.3% BDS 15/DEC/2022 USD1000
|
139,640
|
||
36,555
|
EDWARDS GROUP LTD ADR EUR
|
372,130
|
||
125,000
|
CREDIT SUISSE AG 5.5% BDS 01/MAY/2014 USD1000
|
128,183
|
||
125,000
|
COOPERATIEVE CENTRALE RAIFFEIS SR NT 3.375%
|
133,510
|
||
100,351
|
CONTINENTAL AIRLINES 2009-1 PASS THROUGH TRUST
|
118,741
|
||
51,598
|
CONTINENTAL AIRLINES 2007-1 CLASS A PASS THROUGH
|
56,988
|
||
14,673
|
CONTINENTAL AIRLINES 2000-2 CLASS A-1 PASS THROUGH
|
16,934
|
||
198,963
|
CONTINENTAL AIRLINES 01-1 A-1 6.703% 15/DEC/2022
|
215,473
|
||
250,000
|
COMMONWEALTH BANK OF AUSTRALIA 1.95% BDS
|
255,600
|
||
75,000
|
COMCAST CORP 5.875% BD15/FEB/2018 USD1000
|
87,689
|
||
85,000
|
CITIGROUP INC SR NT FLT 18 15/MAY/2018
|
88,740
|
||
45,000
|
CITIGROUP INC 8.125% BDS 15/JUL/2039 USD1000
|
64,807
|
||
125,000
|
CITIGROUP INC 6.125% NTS 15/MAY/2018 USD1000
|
145,639
|
||
100,000
|
CITIGROUP INC 6% SNR 15/AUG/2017 USD1000
|
116,243
|
||
50,000
|
CITIGROUP INC 5.30% 07/JAN/2016
|
55,327
|
||
100,000
|
CHASE CAPITAL VI FLTG RATE NTS 01/AUG/2028 USD1000
|
81,647
|
||
100,000
|
CENTERPOINT ENERGY RESOURCES SR NT 6.25%
|
113,809
|
||
175,000
|
CATHOLIC HEALTH INITIATIVE 2.95% BDS 01/NOV/2022
|
159,909
|
||
125,000
|
BOSTON PROPERTIES INC 5.875% BDS 15/OCT/2019
|
145,093
|
||
25,000
|
BERKSHIRE HATHAWAY FINANCE CORP 5.4% SNR NOTE
|
28,928
|
||
75,000
|
BERKSHIRE HATHAWAY ENERGY CO CALLABLE BOND FIXED
|
86,353
|
||
125,000
|
BEAR STEARNS CO 7.25% BDS 01/FEB/2018 USD1000
|
153,447
|
||
87,900
|
BAYVIEW COMMERCIAL ASSET TRUST 2005-4 A-2 14
|
75,029
|
||
147,676
|
BAYVIEW COMMERCIAL ASSET TRUST 2005-3A A1 VAR
|
126,540
|
||
75,000
|
BARRICK GOLD CORP CALLABLE NOTES FIXED 4.1%
|
68,304
|
||
170,000
|
BARNABAS HEALTH INC CALLABLE BOND FIXED 4%
|
152,575
|
||
75,000
|
BARCLAYS BANK PLC 5.00% BDS 22/SEP/2016 USD1000
|
83,602
|
||
200,000
|
BANK OF NEW YORK MELLON CORP 1.7% BDS 24/NOV/2014
|
202,512
|
||
150,000
|
BANK OF AMERICA CORP FLTG RATE NTS 15/JUN/2016
|
148,691
|
||
350,000
|
BANK OF AMERICA CORP 5.65% BDS 01/MAY/2018 USD5000
|
401,691
|
||
85,000
|
ARCELORMITTAL SA 4.5% BDS 25/FEB/2017 USD1000
|
92,650
|
||
50,000
|
ANADARKO PETROLEUM CORP NOTES FIXED 5.95%
|
56,579
|
||
100,000
|
AMERICAN EXPRESS CO 7.25% LN STK 20/MAY/2014
|
|
103,455
|
|
Total Corporate Debt Securities
|
$
|
12,286,896
|
||
Government Bonds
|
||||
40,000
|
CALIFORNIA STATE 5.7% MUN BDS 01/NOV/2021 USD5000
|
$
|
45,240
|
|
50,000
|
ILLINOIS (STATE OF) 4.35% BDS 01/JUN/2018 USD1000
|
52,058
|
||
55,000
|
CHICAGO ILL RFDG-PROJ-SER E 28/JAN/2009
|
56,096
|
||
65,000
|
TEXAS ST BUILD AMER BD-A 5.517% 01/APR/2039
|
73,604
|
||
75,000
|
ILLINOIS (STATE OF) 4.421% BDS 01/JAN/2015 USD1000
|
78,910
|
||
100,000
|
ILLINOIS (STATE OF) 4.95% MUNI BDS 01/JUN/2023
|
99,796
|
||
90,000
|
HOUSTON TEXAS 6.29% BDS 01/MAR/2032 USD1000
|
103,663
|
||
160,000
|
CALIFORNIA ST FOR PREVIOUS ISSUES SEE 13063A FOR
|
191,001
|
||
90,000
|
UNITED STATES TREAS BDS TIPS 2.125% 15/FEB/2041
|
108,630
|
||
635,000
|
UNITED STATES OF AMERICA BOND FIXED 3.75%
|
616,859
|
||
385,000
|
UNITED STATES OF AMERICA NOTES FIXED .125%
|
396,861
|
||
370,000
|
UNITED STATES TREAS NTS TIPS 1.25% 15/APR/2014
|
412,050
|
||
625,000
|
UNITED STATES TREAS NTS 0.25%15/MAY/2015
|
625,594
|
||
570,000
|
UNITED STATES TREAS NTS 3.5% 15/FEB/2018
|
626,342
|
||
725,000
|
UNITED STATES TREAS NTS TIPS 0.125% 15/APR/2016
|
787,921
|
||
750,000
|
UNITED STATES OF AMER TREAS NOTES 2% 15/JUL/2014
|
958,456
|
||
970,000
|
UNITED STATES TREAS NTS TIPS 15/APR/2015
|
1,069,504
|
||
2,050,000
|
UNITED STATES OF AMERICA NOTES FIXED 1.25%
|
2,008,370
|
||
2,440,000
|
UNITED STATES TREAS NTS VAR 15/APR/2017
|
2,579,579
|
||
2,640,000
|
UNITED STATES TREAS NTS 0.75%31/DEC/2017
|
2,581,478
|
||
4,940,000
|
UNITED STATES OF AMERICA NOTES FIXED 2.75%
|
4,850,346
|
||
385,000
|
US TREASURY N/B 2.875 31 JAN 2013
|
385,053
|
||
Total Government Bonds
|
$
|
18,707,411
|
||
Mortgage Backed Securities
|
||||
909,933
|
FANNIE MAE 2004-97 ZH 4.500% 25/JAN/2035
|
967,606
|
||
145,491
|
FED HOME LOAN MTG 5.5% MBPT 01/JAN/2038 USD1000
|
159,233
|
||
259,655
|
FEDERAL HOME LOAN MORTGAGE CORP 4.0% BDS
|
268,393
|
||
47,164
|
FEDERAL HOME LOAN MORTGAGE CORP VAR MTG BDS
|
$
|
47,083
|
|
55,591
|
FEDERAL HOME LOAN MORTGAGE CORP VAR MTG BDS
|
55,473
|
||
490,000
|
FEDERAL NATIONAL MORTGAGE ASSOC 0.5% BDS
|
490,626
|
||
485,000
|
FEDERAL NATIONAL MORTGAGE ASSOC 0.5% NTS
|
485,844
|
||
431,174
|
FEDERAL NATIONAL MORTGAGE ASSOC 3% MTG BDS
|
425,900
|
||
219,813
|
FEDERAL NATIONAL MORTGAGE ASSOC 5% MBPT
|
240,213
|
||
330,000
|
FEDERAL NATIONAL MORTGAGE ASSOC 8.95% DEB
|
437,133
|
||
225,000
|
FEDERAL NATL MTG ASSN CALL 0.5%22/OCT/2015
|
225,565
|
||
51,351
|
FHLMC MORTPASS ARM 01/APR/2037 1N PN# 1N1454
|
54,721
|
||
7,269
|
FHLMC MORTPASS ARM 01/SEP/2037 1G PN# 1G2201
|
7,532
|
||
60,000
|
FHLMC REMIC SERIES 3.974% MTG BDS 25/JAN/2021
|
63,627
|
||
478,891
|
FHLMC REMIC SERIES 3197 DZ 15/AUG/2036 5.00000
|
517,110
|
||
378,355
|
FHLMCGLD MORTPASS 2.5% 01/NOV/2027 E0 PN# E04113
|
376,152
|
||
165,531
|
FHLMCGLD MORTPASS 3.5% 01/DEC/2041 Q0 PN# Q05261
|
165,129
|
||
135,794
|
FHLMCGLD MORTPASS 4.5% 01/JUN/2041 Q0 PN# Q01638
|
144,860
|
||
129,232
|
FHLMCGLD MORTPASS 5.5% 01/NOV/2037 G0 PN# G03695
|
141,438
|
||
184,707
|
FHLMCGLD MORTPASS 6.5% 01/MAY/2034 P5 PN# P50216
|
202,220
|
||
418,417
|
FNMA MORTPASS 3% 01/NOV/2032 CT PN# MA1237
|
413,297
|
||
438,351
|
FNMA MORTPASS 3.00% 01/AUG/2033 PN1561
|
432,987
|
||
426,256
|
FNMA MORTPASS 3.5% 01/DEC/2041 CL PN# AB4044
|
425,385
|
||
151,382
|
FNMA MORTPASS 3.703% 01/SEP/2020 XY PN# FN0000
|
159,052
|
||
154,076
|
FNMA MORTPASS 3.762% 01/DEC/2020 XY PN# FN0001
|
162,148
|
||
158,273
|
FNMA MORTPASS 3.787% 01/OCT/2020 XY PN# AE0918
|
166,995
|
||
328,535
|
FNMA MORTPASS 4% 01/AUG/2029 CT PN# MA0142
|
344,173
|
||
511,505
|
FNMA MORTPASS 4% 01/MAY/2043 CL PN# AT2733
|
530,712
|
||
81,894
|
FNMA MORTPASS 4.302% 01/JAN/2021 XY PN# FN0003
|
89,238
|
||
103,318
|
FNMA MORTPASS 4.5% 01/JUL/2029 CT PN# MA0115
|
110,482
|
||
382,271
|
FNMA MORTPASS 4.5% 01/MAY/2048 CZ PN# 257280
|
394,909
|
||
267,385
|
FNMA MORTPASS 4.5% 01/SEP/2041 CL PN# MA0843
|
284,467
|
||
227,934
|
FNMA MORTPASS 5% 01/AUG/2047 CZ PN# 995963
|
241,179
|
||
157,522
|
FNMA MORTPASS 5% 01/SEP/2033 CL PN# 738567
|
171,935
|
||
66,050
|
FNMA MORTPASS 5.5% 01/JUN/2036 CL PN# 889745
|
73,019
|
||
87,720
|
FNMA MORTPASS 6.5% 01/AUG/2037 CL PN# 936879
|
97,931
|
||
1,041,292
|
FREDDIE MAC 3048 QJ 5.000% 15/OCT/2025
|
1,148,972
|
||
200,626
|
GOVT NATIONAL MORTGAGE ASSOCN VAR MTG BDS
|
204,918
|
||
1,215,000
|
TBA FED NATL MORT ASSC 3% 30 YEARS
|
1,239,911
|
||
480,000
|
TBA FEDERAL NATIONAL MORTGAGE ASSOC 3.50% MTG BDS
|
501,956
|
||
450,000
|
TBA FNMA 3.5% 30 YRS JAN
|
447,012
|
||
1,040,000
|
TBA FNMA SF 4.00 30 YRS JAN
|
1,070,550
|
||
235,000
|
TBA FNMA SINGLE FAMILY 15YR 2.5 1/14
|
232,577
|
||
370,000
|
TBA GNMA II JUMBOS 3.00% 30 YEARS JAN
|
357,484
|
||
135,000
|
TBA GNMA2 SINGLE FAMILY 30YR 3.5 1/14
|
136,187
|
||
Total Mortgage Backed Securities
|
$
|
14,913,334
|
Registered Investment Companies
|
||||
1,544
|
ABERDEEN TOTAL RETURNBOND FUND CL A
|
$
|
20,278
|
|
15,250
|
ADVISORS EDGEWOOD GROWTH FD RETAIL CL
|
280,756
|
||
1,076
|
ADVISOR'S INNER CIRCLE CAMBIAR OPPORTUNITY FD INVT CL
|
25,146
|
||
1,827
|
ADVISORS INNER CIRCLE FD ACADIAN EMERGING MKTS INSTL CL
|
33,499
|
||
171
|
ADVISORS INNER CIRCLE FD CAMBIAR AGGR VALUE FD INV CL
|
2,859
|
||
1,868
|
ADVISORS INNER CIRCLE FD RICE HALL JAMES SMALL MID CAP
|
31,703
|
||
29
|
ADVISORS SER TR CHASE MID-CAP GROWTH FD CL A
|
1,359
|
||
128
|
ADVISORS SER TR HUBER CAP SMALL CAP VALUE FD
|
2,299
|
||
4,418
|
ALGER CAPITAL APPRECIATION INSTL PORTFOLIO
|
117,431
|
||
80
|
ALGER GROWTH OPPORTUNITIES FUND CL A
|
916
|
||
6,474
|
ALLIANCEBERNSTEIN CAP FD INC SMALL CAP GROWTH FUND CL I
|
346,575
|
||
841
|
ALLIANCEBERNSTEIN DISCOVERY GROWTH FUND INC CL I
|
8,189
|
||
42,137
|
ALLIANCEBERNSTEIN HIGH INC FD INC ADVISOR CL
|
395,664
|
||
1,696
|
ALLIANCEBERNSTEIN INTL VALUE FUND ADVISOR CL
|
23,212
|
||
574
|
ALLIANZGI EMERGING MARKETS OPPORTUNITIES FD CL D
|
14,867
|
||
6,146
|
ALLIANZGI INCOME & GROWTH FD CL D
|
79,223
|
||
80
|
ALLIANZGI NFJ ALL CAP VALUE FD CL D
|
1,159
|
||
74
|
ALLIANZGI NFJ DIVIDEND VALUE FD CL D
|
1,180
|
||
465
|
ALLIANZGI NJF INTERNATIONAL VALUE FD CL A
|
10,740
|
||
156
|
ALLIANZGI NJF INTERNATIONAL VALUE FD CL D
|
3,612
|
||
631
|
ALLIANZGI NJF SMALL CAP VALUE FD CL D
|
21,594
|
||
264
|
ALLIANZGI TECHNOLOGY FD CL D
|
15,465
|
||
333
|
ALLIANZGI TECHNOLOGY FD INST CL
|
20,900
|
||
450
|
ALPHAMARK INVT TR SMALL CAP GROWTH FD
|
7,108
|
||
1,993
|
ALPINE EQUITY TR INTL REAL ESTATE EQI FD INST
|
46,120
|
||
2,552
|
ALPINE EQUITY TR RLTY INCOME & GROWTH FD INST
|
44,272
|
||
2,509
|
ALPINE SER TR DYNAMIC DIVIDEND FD INST CL
|
9,660
|
||
1,960
|
AMANA MUT FDS TR DEVELOPING WORLD FD
|
20,655
|
||
13,951
|
AMANA MUT FDS TR GROWTH FD
|
446,418
|
||
9,129
|
AMANA MUT FDS TR INCOME FD
|
399,596
|
||
1,853
|
AMERICAN BALANCED FD INC CL R-5
|
45,263
|
||
487
|
AMERICAN BEACON BALANCED FD INVESTOR CL
|
7,111
|
||
381
|
AMERICAN BEACON EMERGING MKTS FD INVESTOR CL
|
4,420
|
||
157
|
AMERICAN BEACON INTL EQUITY FUND INVESTOR CL
|
3,173
|
||
8,002
|
AMERICAN BEACON LARGE CAP VALUE FUND INVESTOR CLASS
|
218,126
|
||
5,065
|
AMERICAN BEACON S&P 500 INDEX FD INVESTOR CL
|
126,064
|
||
3,759
|
AMERICAN CENTURY CAPITAL VALUE FD INVESTOR CLASS
|
33,302
|
||
916
|
AMERICAN CENTURY DIVERSIFIED BOND FUND INVESTOR CLASS
|
9,652
|
||
10,933
|
AMERICAN CENTURY EMERGING MARKETS INVESTOR CLASS
|
95,995
|
||
1,053
|
AMERICAN CENTURY EQUITY GROWTH INVESTOR CLASS
|
32,402
|
||
33,747
|
AMERICAN CENTURY EQUITY INCOME INVESTOR CLASS
|
289,216
|
||
7,841
|
AMERICAN CENTURY GLOBAL GOLD FUND INVESTOR CLASS
|
68,609
|
||
3,257
|
AMERICAN CENTURY HERITAGE FD INVESTOR CLASS
|
82,998
|
||
900
|
AMERICAN CENTURY HIGH YIELD BOND FUND INVESTOR CLASS
|
5,562
|
||
15,606
|
AMERICAN CENTURY INFLATION ADJUSTED BOND INVESTOR CLASS
|
179,935
|
||
1,833
|
AMERICAN CENTURY INTERNATIONAL BOND INVESTOR CL
|
25,326
|
||
3,946
|
AMERICAN CENTURY LEGACY LARGE CAP FUND INVESTOR CL
|
61,403
|
||
248
|
AMERICAN CENTURY ONE CHOICE VERY AGGRESSIVE INV CLASS
|
4,135
|
||
3,218
|
AMERICAN CENTURY PREMIUM MONEY MARKET FUND INVESTOR CL
|
3,218
|
||
167
|
AMERICAN CENTURY REAL ESTATE FUND INVESTOR CLASS
|
3,913
|
||
2,324
|
AMERICAN CENTURY UTILITIES FUND INVESTOR CLASS
|
37,577
|
||
1,885
|
AMERICAN CENTY CAP PORTFOLIO MID CAP VALUE FD INV CL
|
29,649
|
||
1,185
|
AMERICAN CENTY EQI FD DISCIPLINED GWTH FD INV CL
|
20,872
|
||
3,539
|
AMERICAN CENTY INVT TR SHRT DURA INVS CL
|
36,913
|
||
3,970
|
AMERICAN CENTY SHRT DURATION INFLATION PROTCTN BD FD INV CL
|
40,816
|
||
7,642
|
AMERICAN FDS MONEY MKT FD CL A
|
7,642
|
||
3,993
|
AMERICAN HIGH INCOME TR CL R-3
|
45,359
|
||
229
|
AMERICAN HIGH INCOME TR CL R-5
|
2,606
|
||
153
|
AMERICAN MUTUAL FUND INC CL F1
|
5,322
|
||
4,592
|
AQR FDS DIVERSIFIED ARBITRAGE FD CL I
|
50,058
|
||
3,456
|
AQR FDS DIVERSIFIED ARBITRAGE FD CL N
|
37,531
|
||
723
|
ARIEL APPRECIATION FUND-CL A
|
40,307
|
||
1,089
|
ARTISAN FDS INC ARTISAN VALUE FUND
|
14,619
|
||
65
|
ARTISAN FDS INC GLOBAL EQUITY FD INV SHS
|
1,049
|
||
2,196
|
ARTISAN FDS INC GLOBAL OPPORTUNITIES FD INV CL
|
40,217
|
||
69
|
ARTISAN FDS INC GLOBAL VALUE FD INV SHS
|
1,052
|
||
4,157
|
ARTISAN FUNDS INC INTERNATIONAL FUND
|
126,709
|
||
275
|
ARTISAN FUNDS INC SMALL CAP FUND
|
8,140
|
||
89
|
ARTISAN GLOBAL SMALL CAP INV CL
|
1,060
|
||
910
|
ARTISAN INTERNATIONAL VALUE FUND INV SHS
|
33,471
|
1,665
|
ASTON FUNDS TAMRO DIVERSIFIED EQUITY FD CL N
|
28,674
|
||
518
|
ASTON/FAIRPOINTE MID CAP FUND CLASS N
|
22,767
|
||
17,329
|
ASTON/LMCG SMALL CAP GROWTH FUND CLASS N
|
239,662
|
||
1,243
|
AVE MARIA BOND FUND CL R
|
14,144
|
||
522
|
AVE MARIA GROWTH FUND
|
15,746
|
||
943
|
BAIRD AGGREGATE BOND FUND INV CL
|
10,104
|
||
868
|
BAIRD FDS INC INTER MUN BD FD INV CL SHS
|
10,243
|
||
1,436
|
BAIRD FDS INC MIDCAP FD INV CL SHS
|
20,745
|
||
370
|
BARON ASSET FUND-SBI
|
22,975
|
||
1,364
|
BARON GROWTH FUND
|
98,707
|
||
62
|
BARON SELECT FDS BARON PARTNERS FD
|
2,057
|
||
653
|
BARON SELECT FDS REAL ESTATE FD RETAIL SHS
|
14,531
|
||
8,646
|
BARON SMALL CAP FUND
|
300,801
|
||
1,274
|
BBH CORE SELECT FD CL N
|
27,271
|
||
514
|
BERWYN FDS INC INCOME FUND
|
7,200
|
||
839
|
BLACKROCK ENERGY & RESOURCES PORTFOLIO FUND CL A
|
27,598
|
||
484
|
BLACKROCK EQUITY DIVIDEND FUND CL A
|
11,746
|
||
4,168
|
BLACKROCK EQUITY DIVIDEND FUND SVC CL
|
101,122
|
||
4
|
BLACKROCK FDS III S&P 500 STOCK FD INVS A SHS
|
824
|
||
2,411
|
BLACKROCK FDS INFLATION PROTECTED BD SVC
|
25,871
|
||
2,495
|
BLACKROCK FUNDS HIGH YIELD BD PORT SERVICE CL
|
20,508
|
||
766
|
BLACKROCK FUNDS-SMALL CAP GROWTH EQUITY PORTFOLIO INV A
|
15,106
|
||
383
|
BLACKROCK GLOBAL ALLOCATION FD INC CL C
|
7,581
|
||
3,524
|
BLACKROCK INTERNATIONAL INDEX FUND CL A
|
45,876
|
||
2,492
|
BLACKROCK LARGE CAP SER FDS INC LARGE CAP CORE FD INSTL CL
|
41,411
|
||
24
|
BLACKROCK LATIN AMER FD INC CL A
|
1,223
|
||
96
|
BLACKROCK NAT RES TR CL A
|
6,493
|
||
12,141
|
BLACKROCK STRATEGIC INCOME OPPORTUNITIES PORTFOLIO CL A
|
123,348
|
||
1,709
|
BLACKROCK US MORTGAGE PRTFL A SER OF MANAGED ACCOUNT SER
|
16,992
|
||
4,062
|
BMO FDS INC BMO LARGE CAP GROWTH FD CL Y
|
66,126
|
||
10,125
|
BOND FD AMER INC CL R-3
|
125,547
|
||
950
|
BOND FD AMER INC CL R-5
|
11,775
|
||
4,226
|
BRIDGEWAY FDS INC SMALL-CAP GROWTH FD CL N
|
76,026
|
||
3,749
|
BRIDGEWAY FUND INC AGGRESSIVE INVESTOR CL 1
|
194,026
|
||
1,035
|
BROADVIEW FDS TR OPPORTUNITY FUND
|
41,343
|
||
958
|
BROWN CAP MGMT MUT FDS BROWN CAP MGMT SMALL CO FD INV
|
70,961
|
||
2,636
|
BUFFALO FDS MID CAP FD
|
49,509
|
||
7,255
|
BUFFALO FLEXIBLE INCOME FUND INC
|
103,750
|
||
1,072
|
BUFFALO FUNDS SCIENCE & TECHNOLOGY FUND
|
21,378
|
||
5,392
|
BUFFALO HIGH YIELD FUND INC
|
63,575
|
||
421
|
BUFFALO SMALL CAP FD INC
|
15,708
|
||
184
|
CAPITAL INCOME BLDR FD CL R-3
|
10,795
|
||
934
|
CAPITAL INCOME BLDR FD CL R-5
|
54,702
|
2,898
|
CAPITAL INCOME BUILDER FD CL A
|
169,658
|
||
632
|
CAPITAL INCOME BUILDER FD CL F-1
|
37,007
|
||
790
|
CAPITAL WORLD BD FD CL R-5
|
15,896
|
||
1,216
|
CAPITAL WORLD GROWTH & INCOME FD INC CL R-5
|
55,120
|
||
94
|
CAPITAL WORLD GROWTH & INCOME FUND CLASS A
|
4,267
|
||
40
|
CGM FOCUS FUND
|
1,603
|
||
308
|
CLIPPER FUND INC
|
28,357
|
||
2,527
|
COHEN & STEERS REALTY SHARES INC
|
158,765
|
||
3,515
|
COLUMBIA ACORN TR INTL CL A
|
163,907
|
||
337
|
COLUMBIA ACORN TR INTL CL Z
|
15,740
|
||
1,400
|
COLUMBIA EMERGING MARKETS CL Z
|
14,283
|
||
5,773
|
COLUMBIA FDS SER TR I DIVIDEND INCOME CL Z
|
105,825
|
||
1,168
|
COLUMBIA FDS SER TR I MID CAP GROWTH FD CL Z
|
36,989
|
||
878
|
COLUMBIA FDS SER TR I SMALL CAP GROWTH FD I CL Z
|
28,917
|
||
1,712
|
COLUMBIA FDS SER TR II MASS INCOME BUILDER FD CL A
|
19,960
|
||
345
|
COLUMBIA FDS SER TR INTL VALUE FD CL Z
|
5,335
|
||
3,750
|
COLUMBIA FDS SER TR MID CAP INDEX FD CL A
|
56,628
|
||
335
|
COLUMBIA FDS SER TR MID CAP VALUE FD CL A
|
6,001
|
||
2,482
|
COLUMBIA FDS SER TR SHORT TERM BD FD CL Z
|
24,721
|
||
246
|
COLUMBIA FDS SER TR SMALL CAP VALUE II FD CL A
|
4,521
|
||
654
|
COLUMBIA GLOBAL ENERGY AND NATURAL RESOURCES FUND CLASS Z
|
14,883
|
||
3,356
|
COLUMBIA SELECT LARGE CAP GROWTH CLASS Z
|
64,569
|
||
3,353
|
COLUMBIA VALUE AND RESTRUCTURING CLASS Z
|
164,643
|
||
4,813
|
CROFT FDS CORP CROFT-LEOMINSTER VALUE FD
|
128,942
|
||
747
|
CULLEN HIGH DIVIDEND EQUITY FUND
|
12,496
|
||
2,644
|
DAVIS NEW YORK VENTURE FUND INC-CL A
|
109,469
|
||
6,095
|
DAVIS NEW YORK VENTURE FUND INC-CL Y
|
255,428
|
||
1,018
|
DELAWARE GROUP ADVISER FUNDS INC-U S GROWTH PORTF INSTL CL
|
25,398
|
||
1,025
|
DELAWARE GROUP EMERGING MARKETS FUND-CL C
|
15,728
|
||
1,371
|
DELAWARE GROUP GOVT FD INFLATION PROTECTED FD CL A
|
12,242
|
||
4,989
|
DELAWARE POOLED TRUST DIVERSIFIED INCOME FD INSTL CL
|
44,401
|
||
3,755
|
DIAMOND HILL FDS SMALL CAP FD CL I SHS
|
124,290
|
||
12,172
|
DIAMOND HILL LONG-SHORT FUND CLASS A
|
270,948
|
||
2,195
|
DIAMOND HILL LONG-SHORT FUND CLASS I
|
49,436
|
||
474
|
DIREXION FDS MNTHLY LATIN AMER BULL 2X INV
|
13,902
|
||
125
|
DIREXION FDS MNTHY NASDQ 100 BULL 2X INV CL
|
24,884
|
||
277
|
DIREXION FDS MONTHLY S&P 500 BEAR 2X FD INV
|
2,812
|
||
917
|
DIREXION FDS MONTHLY S&P 500 BULL 2X FD INV
|
68,532
|
||
56
|
DODGE & COX BALANCED FUND
|
5,540
|
||
492
|
DODGE & COX FDS GLOBAL STK FD
|
5,652
|
||
1,654,513
|
DODGE & COX FUNDS INTERNATIONAL STK
|
71,210,237
|
||
10,071
|
DODGE & COX FUNDS INTERNATIONAL STOCK FUND
|
433,445
|
||
18,746
|
DODGE & COX INCOME FUND
|
253,633
|
||
308
|
DODGE & COX STOCK FUND
|
51,948
|
||
2,674
|
DOUBLELINE FDS TR CORE FIXED INCOME FD CL I
|
28,607
|
||
450
|
DOUBLELINE FDS TR EMERGING MKTS INCOME FD CL N
|
4,595
|
||
13,354
|
DOUBLELINE FDS TR TOTAL RETURN BD FD CL I
|
143,953
|
||
5,814
|
DOUBLELINE FDS TR TOTAL RETURN BD FD CL N
|
62,678
|
||
840
|
DREYFUS APPRECIATION FUND INC
|
44,016
|
||
83
|
DREYFUS EMERGING ASIA FD CL I
|
707
|
||
354
|
DREYFUS GLOBAL REAL ESTATE SECURITIES FD CLASS I
|
2,868
|
||
2,029
|
DREYFUS GREATER CHINA FD CL C
|
77,242
|
||
185
|
DREYFUS GREATER CHINA FD CL I
|
8,289
|
||
127
|
DREYFUS INTERNATIONAL BOND FUND CLASS C
|
2,028
|
||
2,615
|
DREYFUS INTL BOND FUND CL I
|
42,827
|
||
1,171
|
DREYFUS INVT FDS BOSTON CO SML/MID CAP GRW CL A
|
20,981
|
||
3,141
|
DREYFUS MIDCAP INDEX FUND
|
115,436
|
||
213
|
DREYFUS S&P 500 INDEX FUND
|
10,414
|
||
518
|
DREYFUS/LAUREL FUNDS INC BOND MARKET INDEX FUND INV SHS
|
5,344
|
||
26,736
|
DRIEHAUS MUT FDS EMERGING MKTS GROWTH FD
|
869,725
|
||
3,765
|
DWS ADVISOR FUNDS SHORT DURATION FD CL S
|
34,596
|
||
805
|
DWS EQUITY TRUST ALT ASSET ALLOCATION FD CL A
|
7,512
|
||
3,337
|
DWS GLOBAL/INTL FD INC RREEF GLOBAL INFRASTRUCTURE FD CL C
|
44,717
|
||
8,990
|
DWS PORTFOLIO TR FLTG RATE FD CL S
|
85,044
|
||
476
|
DWS SECS TR RREEF REAL ESTATE SECS FD CL A
|
9,297
|
11,416
|
DWS UNCONSTRAINED INCOME FD CL A
|
55,482
|
||
100
|
DWS VALUE SER INC SMALL CAP VALUE FD INSTL CL
|
2,906
|
||
111
|
EATON VANCE DIVIDEND BUILDER FD CL A
|
1,490
|
||
1,279
|
EATON VANCE LARGE CAP VALUE FUND CL A
|
30,571
|
||
1,687
|
EATON VANCE MUTUAL FUNDS TR FLTG RATE HIGH INCOME FUND ADVISOR CLASS
|
15,250
|
||
120
|
EURO PAC GROWTH FD CL R-5
|
5,900
|
||
474
|
EURO PAC GROWTH FUND CL F1
|
23,152
|
||
616
|
EURO PACIFIC GROWTH FUND CLASS A
|
30,250
|
||
13,981
|
FAIRHOLME FUNDS INC COM
|
548,039
|
||
8,268
|
FEDERATED EQUITY FDS PRUDENT BEAR FD CL A SHS
|
21,826
|
||
215
|
FEDERATED EQUITY INCOME FD INC SHS CL R
|
5,133
|
||
9,503
|
FEDERATED HIGH YIELD TRUST SBI
|
64,333
|
||
463
|
FEDERATED PRUDENT DOLLARBEAR FUND CL A
|
5,136
|
||
22,498
|
FEDERATED STRATEGIC VALUE DIVIDEND FUND CL A
|
130,935
|
||
1,595
|
FEDERATED STRATEGIC VALUE DIVIDEND FUND INSTL
|
9,317
|
||
5,791
|
FIDELITY ADVISOR BIOTECHNOLOGY FUND INSTL CL
|
113,912
|
||
309
|
FIDELITY ADVISOR EMERGING ASIA FD CL I
|
9,484
|
||
116
|
FIDELITY ADVISOR ENERGY CL I
|
5,054
|
||
247
|
FIDELITY ADVISOR FREEDOM 2050 FD INSTL
|
2,758
|
||
1,530
|
FIDELITY ADVISOR GOLD FUND CL I
|
27,482
|
||
231
|
FIDELITY ADVISOR HIGH INCOME FUND CL I
|
2,326
|
||
2,161
|
FIDELITY ADVISOR NEW INSIGHTS FD CL I
|
57,818
|
||
1,072
|
FIDELITY ADVISOR SER VII BIOTECHNOLOGY FUND CL C
|
18,142
|
||
1,408
|
FIDELITY ADVISOR SMALL CAP VALUE FD CL
|
28,232
|
||
664
|
FIDELITY BALANCED FUND
|
15,112
|
||
1,126
|
FIDELITY BLUE CHIP GROWTH FUND
|
71,337
|
||
5,134
|
FIDELITY CANADA FUND
|
299,388
|
||
857
|
FIDELITY CAP APPRECIATION FUND
|
31,012
|
||
28,556
|
FIDELITY CAPITAL & INCOME FUND
|
281,566
|
||
910
|
FIDELITY CHINA REGION FUND
|
30,738
|
||
832
|
FIDELITY COMWLTH TR II SMALL CAP ENHANCED INDEX FD
|
10,567
|
||
10,756
|
FIDELITY CONCORD STR SPARTAN U S EQI INDX FD ADVANTAGE CL
|
704,410
|
||
356
|
FIDELITY CONSUMER FINANCE PORTFOLIO
|
5,830
|
||
7,494
|
FIDELITY CONTRAFUND
|
720,501
|
||
1,083
|
FIDELITY DIVERSIFIED INTL FUND
|
39,974
|
||
532
|
FIDELITY EMERGING ASIA FUND
|
16,295
|
||
1,709
|
FIDELITY EMERGING MARKETS FD
|
41,178
|
||
957
|
FIDELITY EQUITY INCOME FUND
|
56,194
|
||
289
|
FIDELITY EUROPE CAP APPRECTN FD
|
6,809
|
||
119
|
FIDELITY EUROPE FUND
|
4,640
|
||
677
|
FIDELITY EXPORT AND MULTINTL FUND
|
16,471
|
||
8,134
|
FIDELITY FLOATING RATE HIGH INCOME FD
|
81,013
|
||
3,297
|
FIDELITY FOCUSED STOCK FUND
|
65,073
|
||
2,972
|
FIDELITY FREEDOM 2025 FUND
|
39,591
|
||
1,479
|
FIDELITY GNMA FUND
|
16,583
|
||
59
|
FIDELITY GROWTH & INCOME PORTFOLIO
|
1,647
|
||
669
|
FIDELITY INSTL INVS TR FREEDOM 2020
|
10,443
|
||
296
|
FIDELITY INTL DISCOVERY FUND
|
11,969
|
||
2,618
|
FIDELITY INTL GROWTH FD
|
29,424
|
||
9,414
|
FIDELITY INTL REAL ESTATE FD
|
95,745
|
||
226
|
FIDELITY INTL SMALL CAP OPPS FD
|
3,156
|
||
1,910
|
FIDELITY INVT TR GLOBAL COMMODITY STK FD
|
26,991
|
||
781
|
FIDELITY JAPAN FUND
|
9,407
|
||
204
|
FIDELITY JAPAN SMALL COMPANIES FUND
|
2,740
|
||
583
|
FIDELITY LARGE CAP STOCK FUND
|
15,886
|
||
1,764
|
FIDELITY LATIN AMERICA FUND
|
55,128
|
||
7,023
|
FIDELITY LEVERAGED COMPANY STOCK FUND
|
303,669
|
||
38,105
|
FIDELITY LOW PRICED STOCK FUND
|
1,884,654
|
||
3,588
|
FIDELITY MEGA CAP STOCK FUND
|
55,332
|
||
682
|
FIDELITY MID CAP STOCK FUND
|
26,951
|
||
3,725
|
FIDELITY MID CAP VALUE FUND
|
84,183
|
||
102
|
FIDELITY NASDAQ COMPOSITE INDEX FD
|
5,649
|
||
17,612
|
FIDELITY NEW MARKETS INCOME INCOME FUND
|
274,578
|
||
1,435
|
FIDELITY NEW MILLENNIUM FUND
|
56,634
|
||
147
|
FIDELITY NORDIC FUND
|
6,595
|
716
|
FIDELITY OTC PORTFOLIO
|
55,383
|
||
382
|
FIDELITY OVERSEAS FUND
|
15,364
|
||
733
|
FIDELITY PACIFIC BASIN FUND
|
20,272
|
||
7,498
|
FIDELITY PURITAN FUND
|
159,172
|
||
6,874
|
FIDELITY REAL ESTATE INCOME FD
|
76,160
|
||
5,601
|
FIDELITY REAL ESTATE INVSTMT PORTFOLIO
|
178,844
|
||
178
|
FIDELITY SELECT AIR TRANSPORTATION PORTFOLIO
|
10,543
|
||
178
|
FIDELITY SELECT AUTOMOTIVE PORTFOLIO
|
10,015
|
||
6,132
|
FIDELITY SELECT BANKING PORT
|
160,463
|
||
4,077
|
FIDELITY SELECT BIOTECH PORTFOLIO
|
740,835
|
||
600
|
FIDELITY SELECT BROKERAGE & INVT MGMT PORTFOLIO
|
44,523
|
||
1,008
|
FIDELITY SELECT CHEMICAL PORTFOLIO
|
147,062
|
||
306
|
FIDELITY SELECT CONSUMER DISCRETIONARY
|
10,141
|
||
1,617
|
FIDELITY SELECT CONSUMER STAPLES
|
145,864
|
||
1,021
|
FIDELITY SELECT DEFENSE & AEROSPACE PORTFOLIO
|
124,962
|
||
1,741
|
FIDELITY SELECT ELECTRONICS PORTFOLIO
|
109,925
|
||
916
|
FIDELITY SELECT ENERGY PORT
|
51,415
|
||
146
|
FIDELITY SELECT ENERGY SERV PORTFOLIO
|
12,361
|
||
48
|
FIDELITY SELECT FINANCIAL SERVICES PORTFOLIO
|
3,917
|
||
6,511
|
FIDELITY SELECT GOLD PORT
|
116,994
|
||
891
|
FIDELITY SELECT HEALTH CARE PORTFOLIO
|
167,962
|
||
2,991
|
FIDELITY SELECT INDUSTRIAL EQUIPMENT PORTFOLIO
|
137,070
|
||
624
|
FIDELITY SELECT INDUSTRIALS
|
21,024
|
||
52
|
FIDELITY SELECT INSURANCE PORTFOLIO
|
3,536
|
||
627
|
FIDELITY SELECT IT SERVICES
|
23,467
|
||
340
|
FIDELITY SELECT LEISURE PORT
|
45,229
|
||
2,635
|
FIDELITY SELECT MATERIALS
|
223,666
|
||
873
|
FIDELITY SELECT MEDICAL EQUIPMENT AND SYSTEMS
|
31,188
|
||
232
|
FIDELITY SELECT MULTIMEDIA PORTFOLIO
|
18,825
|
||
1,018
|
FIDELITY SELECT NATURAL GAS PORTFOLIO
|
38,476
|
||
1,002
|
FIDELITY SELECT NATURAL RESOURCES PORTFOLIO
|
36,962
|
||
2,607
|
FIDELITY SELECT PHARMACEUTICALS PORT
|
50,086
|
||
210
|
FIDELITY SELECT RETAILING PORTFOLIO
|
18,329
|
||
644
|
FIDELITY SELECT SOFTWARE & COMPUTER SVCS
|
76,404
|
||
1,502
|
FIDELITY SELECT TECHNOLOGY PORTFOLIO
|
184,765
|
||
583
|
FIDELITY SELECT TRANSPORT PORTFOLIO
|
43,065
|
||
81
|
FIDELITY SELECT UTILITIES PORTFOLIO
|
5,419
|
||
597
|
FIDELITY SHORT TERM BOND FD
|
5,125
|
||
9,656
|
FIDELITY SMALL CAP DISCOVERY FD
|
301,846
|
||
1,985
|
FIDELITY SMALL CAP GROWTH FD
|
38,244
|
||
1,726
|
FIDELITY SMALL CAP VALUE FD
|
34,590
|
||
4,566
|
FIDELITY SPARTAN 500 INDEX INVESTOR CLASS
|
298,976
|
||
1,197
|
FIDELITY SPARTAN EXTENDED MKT INDEX FD INVESTOR CLASS
|
63,933
|
||
3,666
|
FIDELITY SPARTAN INTERMED TREAS BOND INDEX ADV CL
|
38,717
|
||
957
|
FIDELITY SPARTAN INTERNL INDEX FD INVESTOR CLASS
|
38,919
|
||
443
|
FIDELITY SPARTAN TOTAL MKT INDEX FD ADV CL
|
23,952
|
||
1,675
|
FIDELITY STRATEGIC DIV & INC FD
|
23,521
|
||
911
|
FIDELITY STRATEGIC INCOME FD
|
9,879
|
||
2,181
|
FIDELITY TAX FREE BOND FUND
|
23,924
|
||
1,398
|
FIDELITY TELECOM AND UTILITIES FUND
|
30,780
|
||
704
|
FIDELITY TOTAL BOND FUND
|
7,345
|
||
587
|
FIDELITY TREND FUND INC
|
50,871
|
||
599
|
FIDELITY VALUE FUND
|
62,032
|
||
854
|
FIDELITY WORLDWIDE FUND
|
21,021
|
||
35
|
FINANCIAL INVS TR VULCAN VALUE PARTNERS FD
|
646
|
||
1,407
|
FIRST EAGLE FDS GOLD FD CL C
|
19,603
|
||
14,422
|
FIRST EAGLE GOLD FUND CL A
|
209,257
|
||
2,429
|
FIRST EAGLE OVERSEAS FUND CL C
|
54,625
|
||
1,500
|
FIRSTHAND FDS ALTERNATIVE ENERGY FD
|
9,705
|
||
658
|
FMI COMMON STOCK FUND
|
18,868
|
||
16,719
|
FMI FUNDS INC LARGE CAP FUND
|
348,758
|
||
1,521
|
FORESTER VALUE FD
|
18,783
|
||
4,545
|
FORUM ABSOLUTE STRATEGIES FD CL R
|
49,455
|
||
3,577
|
FORUM FDS ABSOLUTE STRATEGIES FD INSTL
|
39,242
|
||
1,278
|
FORUM FDS MERK ABSOLUTE RETURN CURRENC
|
12,220
|
1,070
|
FORUM FDS MERK ASIAN CURRENCY FD INV SHS
|
10,195
|
||
2,430
|
FORUM FDS MERK HARD CURRENCY FD INVS SHS
|
28,046
|
||
2,730
|
FORWARD EMERGING MARKETS FUND INVESTOR CLASS
|
28,913
|
||
694
|
FORWARD SMALL CAP EQUITY FUND INVESTOR CLASS
|
15,284
|
||
2,429
|
FPA FDS TR FPA CRESCENT PORTFOLIO INSTL
|
80,075
|
||
25,987
|
FRANKLIN INCOME FDS SER CL C
|
63,669
|
||
29,822
|
FRANKLIN INCOME SERIES CL A
|
72,169
|
||
79
|
FRANKLIN TEMPLETON FDS GOLD & PRECIOUS METALS FD CL C
|
1,183
|
||
4,699
|
FRANKLIN TEMPLETON FUND STRATEGIC SER INCOME FUND CL-C
|
49,107
|
||
554
|
FRANKLIN TEMPLETON FUNDS GOLD & PRECIOUS METALS FD CL A
|
8,846
|
||
2,409
|
FRANKLIN TEMPLETON FUNDS MUTUAL BEACON FD CL C
|
40,198
|
||
1,532
|
FRANKLIN TEMPLETON FUNDS MUTUAL FINANCIAL SVCS FD CL C
|
25,924
|
||
222
|
FRANKLIN TEMPLETON MODERATE ALLOCATION FUND-CL A
|
3,505
|
||
463
|
FUNDAMENTAL INVESTORS INC CLASS A
|
24,083
|
||
175
|
FUNDAMENTAL INVS INC CL F1
|
9,074
|
||
1,907
|
FUNDAMENTAL INVS INC CL R-5
|
99,129
|
||
1,672
|
GABELLI EQUITY SERIES FUNDS INC-EQUITY INCOME FUND
|
47,780
|
||
1,059
|
GABELLI EQUITY SERIES FUNDS INC-SMALL CAPITAL GROWTH FUND
|
51,156
|
||
9,441
|
GABELLI UTILS FD CL AAA SHS
|
53,060
|
||
527
|
GAMCO GLOBAL SER FDS INC TELECOMMUNICATIONS FD CL AAA
|
13,100
|
||
3,423
|
GAMCO GOLD FUND INC CL AAA
|
36,658
|
||
511
|
GOLDMAN SACHS COMMODITY STRATEGY FUND CLASS A
|
2,882
|
||
11,970
|
GOLDMAN SACHS GROWTH STRATEGY PORTFOLIO-CL A
|
154,294
|
||
2,612
|
GOLDMAN SACHS INTERNATIONAL SMALL CAP INSIGHTS FUND CL A
|
27,612
|
||
1,796
|
GOODHAVEN FUND
|
50,420
|
||
4,279
|
GRANDEUR PEAK GLOBAL OPPORTUNITIES INV
|
14,079
|
||
2,701
|
GREENSPRING FUND INC
|
71,507
|
||
3,765
|
GROWTH FD AMER INC CL R-5
|
161,691
|
||
4,821
|
GROWTH FUND AMER INC CL F1
|
206,070
|
||
517
|
GROWTH FUND AMERICA INC CLASS A
|
22,248
|
||
7,125
|
GUINNESS ATKINSON FDS ALTERNATIVE ENERGY FD
|
28,427
|
||
733
|
GUINNESS ATKINSON FDS ASIA PACIFIC DIV FD
|
9,486
|
||
3,367
|
GUINNESS ATKINSON GLOBAL ENERGY FUND
|
109,273
|
||
613
|
HANCOCK HORIZON FAMILY FDS BURKENROAD FD CL A
|
35,540
|
||
770
|
HANCOCK HORIZON FAMILY FDS BURKENROAD FD CL D
|
43,518
|
||
3,204
|
HARBOR CAPITAL APPRECIATION FUND INVESTOR CLASS
|
178,605
|
||
1,393
|
HARBOR FD COMODITY REAL RTRN STRATEGY CL
|
8,248
|
||
15,580
|
HARBOR FD REAL RETURN FD INSTL CL
|
151,593
|
||
1,954
|
HARBOR HIGH YIELD BOND FUND INSTITUTIONAL CLASS
|
21,122
|
||
1,306
|
HARBOR HIGH YIELD BOND FUND INVESTOR CLASS
|
14,129
|
||
1,136
|
HARBOR INTERNATIONAL FUND INSTITUTIONAL
|
80,675
|
||
4,083
|
HARBOR INTERNATIONAL FUND INVESTOR CLASS
|
287,169
|
||
7,154
|
HARBOR INTERNATIONAL GROWTH FUND INSTITUTIONAL
|
93,078
|
||
84
|
HARDING LOEVNER EMERGING MARKETS PORTFOLIO ADVISOR CL
|
4,115
|
||
20,367
|
HARDING LOEVNER FDS INC INTL EQUITY PORT INVS CL
|
366,608
|
||
1,704
|
HARDING LOEVNER FDS INC INTL SMLL COS PORTFLIO INV CL
|
23,816
|
||
5,629
|
HARDING LOEVNER FUNDS INC INTL EQUITY PORTFOLIO INSTL CL
|
101,495
|
||
886
|
HARTFORD MUT FDS INC CAP APPREC FD CL R5
|
45,003
|
||
457
|
HARTFORD MUTUAL FUNDS INC CAP APPREC FUND CL C
|
18,706
|
||
343
|
HARTFORD MUTUAL FUNDS INC CAPITAL APPRECIATION FUND CL A
|
15,992
|
||
137
|
HARTFORD MUTUAL FUNDS INC CAPITAL APPRECIATION FUND CL B
|
5,564
|
||
1,250
|
HEARTLAND GROUP INC VALUE PLUS FUND
|
44,774
|
||
3,769
|
HEARTLAND SELECT VALUE FUND
|
127,312
|
||
2,855
|
HENNESSY CORNERSTONE MID CAP 30 FUND INVESTOR CLASS SHARES
|
48,650
|
||
604
|
HENNESSY FDS TR CORNERSTONE LARGE GRWTH FD INVT CL
|
8,196
|
||
346
|
HENNESSY FOCUS FUND INVESTOR CLASS SHARES
|
22,855
|
||
6,428
|
HENNESSY GAS UTILITY INDEX FUND INVESTOR CLASS
|
170,339
|
||
748
|
HENNESSY JAPAN FUND INVESTOR CLASS SHARES
|
14,675
|
||
507
|
HENNESSY LARGE CAP FINANCIAL FUND INVESTOR CLASS
|
10,227
|
||
806
|
HENNESSY MUT FDS INC CORNERSTONE VALUE FD INVT CL
|
13,776
|
||
449
|
HENNESSY SMALL CAP FINANCIAL FUND INVESTOR CLASS
|
11,433
|
||
1,462
|
HOMESTEAD FDS INC SMALL CO STK FD
|
53,892
|
||
272
|
HOTCHKIS & WILEY FUNDS MID CAP VALUE FD CL A
|
10,933
|
||
2,894
|
HUSSMAN INVESTMENT TRUST STRATEGIC TOTAL RETURN FUND
|
31,773
|
||
10,050
|
HUSSMAN INVT TR STRATEGIC GROWTH FUND
|
99,397
|
3,202
|
HUSSMAN INVT TR STRATEGIC INTL EQUITY FD
|
31,120
|
||
10,030
|
ICON FUNDS ENERGY FUND
|
233,086
|
||
175
|
ICON FUNDS FINANCIAL FUND
|
1,359
|
||
2,506
|
ICON FUNDS ICON MATERIALS FUND
|
36,531
|
||
386
|
ICON UTILITIES FUND CL S
|
2,851
|
||
324
|
INCOME FD AMER INC CL R-1
|
6,646
|
||
6,977
|
INCOME FUND OF AMERICA INC CLASS A
|
144,075
|
||
2,179
|
ING CORPORATE LEADERS TRUST UNIT PARTN CTF SER B
|
69,091
|
||
113
|
ING EQUITY TRUST REAL ESTATE FUND CLASS C
|
1,916
|
||
293
|
ING GLOBAL REAL ESTATE FD CL W
|
5,384
|
||
62
|
ING MUTUAL FUNDS RUSSIA FUND CLASS A
|
2,122
|
||
905
|
INTEGRITY FD WILLISTON BASIN/MID NORTH AMER CL A
|
6,190
|
||
199
|
INTERNATIONAL GROWTH & INC FD INC CL A SHS
|
6,968
|
||
236
|
INTERNATIONAL GROWTH & INC FD INC CL F-1 SHS
|
8,277
|
||
5,618
|
INVESCO AMERICAN FRANCHISE FUND CLASS C
|
91,631
|
||
44
|
INVESCO CHINA FUND CL A
|
948
|
||
2,822
|
INVESCO COMSTOCK FUND CLASS C
|
67,104
|
||
2,219
|
INVESCO DIVERSIFIED DIVIDEND FD INV CL
|
37,538
|
||
150
|
INVESCO ENERGY FUND CLASS B
|
6,164
|
||
507
|
INVESCO ENERGY FUND CLASS INVESTOR
|
22,901
|
||
139
|
INVESCO EUROPEAN GROWTH FUND CLASS INVESTOR
|
5,482
|
||
4,624
|
INVESCO GOLD & PRECIOUS METALS FD CL Y
|
19,376
|
||
98
|
INVESCO GOLD & PRECIOUS METALS FUND CL C
|
414
|
||
6,748
|
INVESCO INTERNATIONAL CORE EQUITY FD INVST CL
|
77,809
|
||
675
|
INVESCO MID CAP CORE EQUITY FD CL Y
|
17,182
|
||
230
|
INVESCO MID CAP CORE EQUITY FUND CL A
|
5,795
|
||
3,457
|
INVESCO REAL ESTATE FUND CL C
|
74,730
|
||
5,659
|
IVA FIDUCIARY TR IVA INTL FD CL I
|
97,673
|
||
331
|
IVA FIDUCIARY TR IVA WORLDWIDE FD CL A
|
5,901
|
||
273
|
IVY ASSET STRATEGY FD CL C
|
8,501
|
||
6,075
|
IVY ASSET STRATEGY I
|
196,091
|
||
1,439
|
IVY FDS INC MID CAP GROWTH FD CL I
|
34,949
|
||
1,355
|
IVY FDS INC MID CAP GROWTH FD CL Y
|
32,376
|
||
700
|
IVY FDS INC SCI & TECHNOLOGY FD CL I
|
39,374
|
||
71
|
IVY FDS INC SCIENCE & TECH FD CL Y
|
3,897
|
||
51
|
IVY GLOBAL NATURAL RESOURCES FUND-CL B
|
813
|
||
7,598
|
JAMES ADVANTAGE FDS BALANCED GOLDEN RAINBOW FUND
|
182,571
|
||
484
|
JAMES ADVANTAGE FDS SMALL CAP FUND
|
16,069
|
||
2,776
|
JANUS CONTRARIAN FUND CLASS T SHARES
|
58,025
|
||
136
|
JANUS GLOBAL RESEARCH FUND CLASS T
|
8,157
|
||
392
|
JANUS GLOBAL SELECT FUND CLASS R SHARES
|
4,941
|
||
3,998
|
JANUS GLOBAL SELECT FUND CLASS T SHARES
|
50,613
|
||
930
|
JANUS INVESTMENT FUND FLEXIBLE BOND FUND CLASS T
|
9,647
|
||
605
|
JANUS INVESTMENT FUND GLOBAL LIFE SCIENCES FD CL T
|
26,040
|
||
5,623
|
JANUS INVESTMENT FUND HIGH YIELD FUND CLASS T
|
51,620
|
||
37,657
|
JANUS INVESTMENT FUND SHORT TERM BOND FUND CL T
|
115,606
|
||
31
|
JANUS INVESTMENT FUND VENTURE FUND CLASS T
|
2,017
|
||
726
|
JANUS INVT FD FORTY FD CL S
|
29,396
|
||
475
|
JANUS INVT FD GLOBAL REAL ESTATE FD CL T
|
4,857
|
||
134
|
JANUS INVT FD INTECH RISK-MNGD GRWTH FD CL T
|
2,644
|
||
143
|
JANUS INVT FD PERKINS MID CAP VALUE FD CL S
|
3,332
|
||
1,876
|
JANUS OVERSEAS FUND CLASS T SHARES
|
69,139
|
||
10,077
|
JANUS TRITON FUND CLASS T SHARES
|
238,125
|
||
5,443
|
JENSEN PORTFOLIO INC JENSEN QUALITY GROWTH FD
|
205,625
|
||
16,863
|
JOHN HANCOCK FDS II GBL ABSOLUTE RET STRATEGIES A
|
186,505
|
||
982
|
JOHN HANCOCK REGIONAL BANK FUND-CL A
|
18,119
|
||
454
|
JP MORGAN SMARTRETIREMENT 2010 FD CL A
|
7,546
|
||
408
|
JPMORGAN TR I EMERGING ECONOMIES FD CL A
|
5,375
|
||
1,531
|
JPMORGAN TR I INCOME BLDR FD CL A
|
15,757
|
||
3,627
|
JPMORGAN TR I INTL VALUE FD CL A
|
54,805
|
||
75
|
JPMORGAN TR I INTREPID EUROPEAN FD CL A
|
1,945
|
||
143
|
JPMORGAN TR I MID CAP EQUITY FD CL A
|
5,954
|
||
1,522
|
JPMORGAN TR I STRATEGIC INCM OPPTYS FD CL A
|
18,052
|
||
41,898
|
JPMORGAN TR II CORE BD FD CL A
|
480,991
|
||
17,083
|
JPMORGAN TR II EQUITY INCOME FD CL C
|
217,300
|
9,913
|
JPMORGAN TR II HIGH YIELD FD CL A
|
78,806
|
||
672
|
JPMORGAN TR II LARGE CAP GROWTH FD CL A
|
21,348
|
||
544,802
|
JPMORGAN US GOVT MMKT - PREMIER SHR FUND 1086
|
544,804
|
||
733,462
|
JPMORGAN US GOVT MMKT - PREMIER SHR FUND 1086
|
733,468
|
||
1,049,285
|
JPMORGAN US GOVT MMKT - PREMIER SHR FUND 1086
|
1,049,295
|
||
1,367,964
|
JPMORGAN US GOVT MMKT - PREMIER SHR FUND 1086
|
1,367,972
|
||
2,264,482
|
JPMORGAN US GOVT MMKT - PREMIER SHR FUND 1086
|
2,264,512
|
||
3,072,165
|
JPMORGAN US GOVT MMKT - PREMIER SHR FUND 1086
|
3,072,179
|
||
3,283,950
|
JPMORGAN US GOVT MMKT - PREMIER SHR FUND 1086
|
3,283,974
|
||
1,987
|
KEELEY SMALL CAP VALUE FD CL A
|
76,259
|
||
2,408
|
KINETICS GLOBAL FUND INV CL
|
14,567
|
||
377
|
KINETICS PARADIGM FUND INV CL
|
12,946
|
||
1,045
|
KINETICS SMALL CAP FD INV CL
|
41,923
|
||
1,725
|
LAUDUS TRUST LAUDUS U S LARGE CAP GROWTH FD
|
32,038
|
||
857
|
LAZARD DEVELOPING MARKETS EQUITY PORTFOLIO OPEN SHS
|
10,119
|
||
9,120
|
LAZARD EMERGING MARKETS PORT OPEN SHS
|
174,566
|
||
2,528
|
LAZARD FDS INC INTL STRATEGIC EQI PORT OPEN
|
36,828
|
||
1,325
|
LAZARD FDS INC US REALTY INCOME EQUITY PORTFOLIO OPEN
|
9,843
|
||
276
|
LAZARD INTERNATIONAL SMALL CAPITALIZATION PORT OPEN SHS
|
2,907
|
||
355
|
LEGG MASON PARTNERS WESTERN ASSET EMRG MKTS DEBT FD CL A
|
1,823
|
||
1,622
|
LEUTHOLD CORE INVESTMENT FUND
|
29,528
|
||
52,664
|
LOOMIS SAYLES BOND FUND RETAIL CLASS
|
794,704
|
||
8,902
|
LOOMIS SAYLES GLOBAL BOND FUND RETAIL CLASS
|
142,349
|
||
5,372
|
LORD ABBETT INVT TR FLTG RATE FD CL A
|
51,038
|
||
3,318
|
LORD ABBETT MULTI ASSET GROWTH FUND CL A
|
60,678
|
||
92,283
|
LORD ABBETT SHORT DURATION INCOME FUND CL I
|
419,889
|
||
57
|
LORD ASSET MANAGEMENT TRUST THOMAS WHITE INTL FUND
|
1,105
|
||
169
|
MADISON FDS DIVID INCOME FD CL Y
|
3,783
|
||
236
|
MADISON FDS INVS FD CL Y
|
5,459
|
||
542
|
MADISON FDS MID CAP FD CL Y
|
5,135
|
||
4,384
|
MAINSTAY FDS LARGE CAP GROWTH FD CL I
|
45,634
|
||
1,201
|
MAINSTAY MARKETFIELD FUND CL A
|
22,179
|
||
981
|
MAINSTAY MARKETFIELD FUND CL I
|
18,174
|
||
1,162
|
MAINSTAY S&P 500 INDEX FUND CLASS A
|
49,320
|
||
28
|
MAIRS & PWR FDS TR GROWTH FD
|
3,150
|
||
101
|
MANAGERS AMG FDS GW&K MUN ENHANCED YIELD FD INV
|
904
|
||
10,696
|
MANAGERS AMG FDS YACKTMAN FD SVC CL
|
251,792
|
||
11,618
|
MANAGERS AMG FDS YACKTMAN FOCUSED FD SVC CL
|
292,195
|
||
23,171
|
MANAGERS AMG SKYLINE SPL EQUITIES PORT
|
921,063
|
||
6,878
|
MANAGERS FDS REAL ESTATE SECS FD
|
66,031
|
||
20,365
|
MANAGERS PIMCO BOND FUND
|
214,040
|
||
236
|
MANAGERS TR I BRANDYWINE BLUE FD
|
7,701
|
||
531
|
MANAGERS TR I BRANDYWINE FD
|
16,966
|
||
3,502
|
MANNING AND NAPIER FUND INC NEW EQUITY SERIES
|
68,922
|
||
1,742
|
MANNING AND NAPIER FUND WORLD OPPORTUNITIES SER CL A
|
15,767
|
||
6,387
|
MARSICO 21ST CENTURY FUND
|
126,842
|
||
1,557
|
MARSICO FOCUS FUND
|
31,800
|
||
5,118
|
MARSICO GROWTH FD
|
113,116
|
||
1,965
|
MARSICO INVT FD FLEXIBLE CAP FD
|
35,426
|
||
1,387
|
MARSICO INVT FD INTL OPPORTUNITIES FD
|
21,918
|
||
4,906
|
MATTHEW 25 FD INC
|
149,340
|
||
6,517
|
MATTHEWS ASIA DIVIDEND FUND
|
101,669
|
||
3,030
|
MATTHEWS ASIA SCIENCE AND TECHNOLOGY FUND
|
38,154
|
||
428
|
MATTHEWS ASIAN FDS ASIA SMALL COS FD
|
8,285
|
||
4,006
|
MATTHEWS ASIAN GROWTH & INCOME FUND
|
75,756
|
||
2,852
|
MATTHEWS CHINA FUND
|
65,130
|
||
2,795
|
MATTHEWS INDIA FUND
|
45,498
|
||
1,439
|
MATTHEWS INTL FDS ASIA GROWTH FUND
|
30,462
|
||
283
|
MATTHEWS JAPAN FUND
|
4,580
|
||
3,143
|
MATTHEWS KOREA FUND
|
18,703
|
||
5,594
|
MATTHEWS PACIFIC TIGER FUND
|
139,792
|
||
234
|
MERGER FUND-SBI
|
3,753
|
||
1,744
|
MERIDIAN CONTRARIAN FUND
|
76,659
|
||
28,873
|
METROPOLITAN WEST FDS TOTAL RETURN BOND FUND
|
304,606
|
||
1,749
|
METROPOLITAN WEST FUNDS HIGH YIELD BOND FUND CLASS M
|
17,958
|
3,659
|
METROPOLITAN WEST LOW DURATION BOND FUND
|
32,166
|
||
139
|
MFS GROWTH FUND CL I
|
9,476
|
||
341
|
MFS SER TR I VALUE FUND CL I
|
11,363
|
||
953
|
MFS SER TR V INTL NEW DISCOVERY FD CL A
|
26,994
|
||
1,126
|
MFS SER TR X EMERGING MARKET DEBT FUND CLASS I
|
16,351
|
||
300
|
MFS SER TR X INTL DIVERSIFICATION FD CL A
|
4,945
|
||
741
|
MFS SER TR X INTL VALUE FD CL A
|
24,989
|
||
1,750
|
MFS SERS TRUST VI UTILITIES FD CL I
|
36,593
|
||
860
|
MFS SERS TRUST X FOREIGN & COLONIAL INTL GROWTH FD CL I
|
26,683
|
||
1,304
|
MIDAS FUND INC
|
1,799
|
||
716
|
MORGAN STANLEY INSTL FD INC U S REAL ESTATE PORTFOLIO CL I
|
11,857
|
||
630,624
|
MORGAN TR I 100% U S TREAS SECS MNY MKTCL MORGAN SHARE CL
|
630,624
|
||
1,268
|
MORGAN TR I PRIME MONEY MKT FD MORGAN CL SECURITY SYMBOL IS V MVXX
|
1,268
|
||
831,941
|
MORGAN TR II U S GOVT MONEY MKT FD MORGAN
|
831,941
|
||
2,590
|
MOTLEY FOOL FDS TR GREAT AMERICA FD
|
45,761
|
||
1,771
|
MOTLEY FOOL FDS TR MOTLEY FOOL INDEPENDENCE FD
|
34,069
|
||
406
|
MUHLENKAMP FD
|
27,624
|
||
1,192
|
MUTUAL GLOBAL DISCOVERY FUND CL Z
|
40,203
|
||
1,545
|
MUTUALS COM VICE FUND
|
44,916
|
||
298
|
NATIONWIDE MUT FDS NEW HIGHMARK VALUE FD CL C
|
4,567
|
||
708
|
NEEDHAM AGGRESSIVE GROWTH FD
|
16,043
|
||
2,634
|
NEUBERGER & BERMAN EQUITY FDS EQUITY INCOME FD CL A
|
31,687
|
||
638
|
NEUBERGER BERMAN EQUITY FDS REAL ESTATE FD TR CL
|
8,059
|
||
1,686
|
NEUBERGER BERMAN GENESIS FD INVESTOR CLASS
|
70,344
|
||
745
|
NEUBERGER BERMAN GENESIS FUND TRUST CLASS
|
48,090
|
||
4,846
|
NEUBERGER BERMAN INTERNATINL EQUITY FUND INVESTOR CLASS
|
99,770
|
||
140
|
NEUBERGER BERMAN LARGE CAP VALUE FUND INVESTOR
|
4,392
|
||
836
|
NEUBERGER BERMAN STRATEGIC INCOME FD TR CL
|
9,291
|
||
583
|
NEW PERSPECTIVE FD INC CL F-2 SHS
|
21,864
|
||
4,331
|
NEW PERSPECTIVE FUND INC CL A
|
162,676
|
||
369
|
NEW WORLD FD INC CLASS R-5
|
21,728
|
||
77
|
NEW WORLD FUND INC NEW
|
4,551
|
||
121
|
NICHOLAS FUND INC
|
7,794
|
||
1,471
|
NORTHERN EQUITY INDEX FDS MID CAP INDEX FD
|
24,840
|
||
1,083
|
NORTHERN FDS EMERGING MKTS EQUITY INDEX FD
|
12,219
|
||
271
|
NORTHERN LTS FD TR EAGLE MLP STRATEGY FD CL I SHS
|
3,488
|
||
91,059
|
NORTHERN LTS FD TR PAC FINL CORE EQUITY FD INV CL
|
854,130
|
||
65,358
|
NORTHERN LTS FD TR PAC FINL EXPLORER FD INV CL
|
628,745
|
||
56,542
|
NORTHERN LTS FD TR PAC FINL INTL FD INV CL
|
321,723
|
||
89,906
|
NORTHERN LTS FD TR PAC FINL STRTG CONSRVT INV CL
|
846,012
|
||
36,228
|
NORTHERN LTS FD TR PAC FINL TACTICAL FD INV CL
|
350,684
|
||
18,030
|
NORTHERN LTS FD TR SOUTHERNSUN US EQUITY FD INV
|
240,881
|
||
1,880
|
NUVEEN DIVIDEND VALUE FUND CL A
|
31,370
|
||
3,292
|
NUVEEN INVT FDS INC SHORT TERM BD FD CL A
|
33,016
|
||
1,368
|
OAKMARK EQUITY & INCOME FUND
|
44,664
|
||
495
|
OAKMARK FUND
|
31,483
|
||
6,425
|
OAKMARK GLOBAL FUND
|
193,721
|
||
10,671
|
OAKMARK GLOBAL SELECT FUND
|
176,181
|
||
10,049
|
OAKMARK INTERNATIONAL FUND
|
264,481
|
||
1,914
|
OAKMARK INTERNATIONAL FUND CL II
|
50,674
|
||
2,543
|
OAKMARK INTERNATIONAL SMALL CAP FUND
|
43,939
|
||
2,865
|
OAKMARK SELECT FUND
|
114,771
|
||
190
|
OBERWEIS CHINA OPPTYS FD
|
3,203
|
||
526
|
OBERWEIS FDS INTL OPPTYS FD
|
10,226
|
||
162
|
OBERWEIS MICRO-CAP PORTFOLIO
|
3,239
|
||
154
|
OBERWEIS SMALL-CAP OPPORTUNITIES FUND
|
2,627
|
||
1,414
|
OCM MUT FD GOLD FD ADVISOR CL
|
15,516
|
||
737
|
OPPENHEIMER COMMODITY STRATEGY TOTAL RETURN FD CL A
|
2,195
|
||
1,093
|
OPPENHEIMER DEVELOPING MARKETS FUND-CL A
|
41,544
|
||
5,540
|
OPPENHEIMER DEVELOPING MKTS FDS CL Y
|
208,071
|
||
900
|
OPPENHEIMER DEVELOPING MKTS FUNDS CL N
|
32,949
|
||
12,934
|
OPPENHEIMER INTERNATIONAL GROWTH FUND-CL A
|
496,033
|
||
2,355
|
OPPENHEIMER INTL BD FD CLASS Y
|
14,319
|
||
12,884
|
PARNASSUS INCOME TRUST EQUITY INCOME PORTFOLIO
|
472,586
|
||
282
|
PAX WORLD GLOBAL ENVIRONMENTAL MRKT FD INV CL
|
3,616
|
9,864
|
PAX WORLD HIGH YIELD BOND FD INDIVIDUAL INVESTOR CLASS
|
74,669
|
||
1,374
|
PERKINS GLOBAL VALUE FUND CL T
|
19,282
|
||
5,728
|
PERKINS MID CAP VALUE FD CLASS T SHS
|
133,870
|
||
6,686
|
PERMANENT PORTFOLIO FUND INC
|
287,906
|
||
2,011
|
PERRITT ULTRA MICROCAP FUND
|
36,098
|
||
1,429
|
PFS FDS WIRELESS FD
|
10,057
|
||
7,307
|
PIMCO ALL ASSET ALL AUTHORITY P
|
72,343
|
||
2,851
|
PIMCO ALL ASSET FUND INSTITUTIONAL CLASS
|
34,439
|
||
767
|
PIMCO COMMODITY REAL RETURN STRAT P
|
4,201
|
||
23,167
|
PIMCO COMMODITY REAL RETURN STRATEGY CLASS D
|
125,567
|
||
47,908
|
PIMCO COMMODITY REAL RETURN STRATEGY FUND INSTITUTIONAL CL
|
263,017
|
||
2,585
|
PIMCO EQUITY SER DIVID & INC BUILDER FD CL D
|
32,747
|
||
20,730
|
PIMCO FDS ALL ASSET ALL AUTH FD INSTL CL
|
205,225
|
||
484
|
PIMCO FDS COMMODITIES PLUS STRATEGY FD CL D
|
5,154
|
||
1,522
|
PIMCO FDS EMERGING LOCAL BD FD CL D
|
14,200
|
||
2,041
|
PIMCO FDS EMERGING MKTS CURR FDS CL D
|
20,653
|
||
21,585
|
PIMCO FDS EMERGING MKTS CURR FDS INST CL
|
218,436
|
||
1,223
|
PIMCO FDS FOREIGN BD FD CL D(UNHEDGED)
|
12,275
|
||
22,750
|
PIMCO FDS PAC INVT MGMT SER ALL ASSET ALL AUTH FD CL D
|
224,540
|
||
2,100
|
PIMCO FDS PAC INVT MGMT SER ALL ASSET FD CL D
|
25,372
|
||
1,220
|
PIMCO FDS PAC INVT MGMT SER DIVERSIFIED INCOME FD CL D
|
14,012
|
||
22,384
|
PIMCO FDS PAC INVT MGMT SER GLOBAL BD FD II INSTL CL
|
226,079
|
||
1,273
|
PIMCO FDS PAC INVT MGMT SER HIGH YIELD FD CL D
|
12,238
|
||
13,876
|
PIMCO FDS PAC INVT MGMT SER LOW DURATION FD CL D
|
143,336
|
||
855
|
PIMCO FDS PAC INVT MGMT SER REAL ESTATE REAL RET STRA CL A
|
3,078
|
||
29,584
|
PIMCO FDS PAC INVT MGMT SER REAL RETURN FD-CL D
|
324,532
|
||
123
|
PIMCO FDS PAC INVT MGMT SER STOCKSPLUS FD CL D
|
1,146
|
||
42,008
|
PIMCO FDS PAC INVT MGMT SER TOTAL RETURN FD CL D
|
449,068
|
||
2,893
|
PIMCO FDS SENIOR FLOATING RATE FD CL D
|
29,624
|
||
1,002
|
PIMCO FDS STOCKSPLUS ABSOLUTE RETURN FD CL A
|
10,138
|
||
134
|
PIMCO FDS STOCKSPLUS ABSOLUTE RETURN FUND CL D
|
1,342
|
||
7,929
|
PIMCO FDS UNCONSTRAINED BD FD CL D
|
87,934
|
||
304
|
PIMCO FLOATING INCOME FUND CLASS D
|
2,688
|
||
4,424
|
PIMCO FOREIGN BOND FUND CL D U.S. DOLLAR-HEDGED
|
46,536
|
||
267
|
PIMCO FOREIGN FUND ADMINISTRATIVE SHS
|
2,805
|
||
7,185
|
PIMCO INCOME FUND CLASS D
|
88,089
|
||
146
|
PIMCO INTERNATIONAL STOCKPLUS AR STRATEGY FD CL D
|
1,135
|
||
5,196
|
PIMCO INVESTMENT GRADE CORPORATE BOND FUND CL D
|
53,204
|
||
1,459
|
PIMCO REALESTATE REAL RETURN STRATEGY CLASS D
|
5,267
|
||
1,346
|
PIMCO SMALL CAP STOCKSPLUS AR CLASS A
|
12,933
|
||
3,031
|
PIMCO SMALL CAP STOCKSPLUS AR CLASS D
|
28,973
|
||
3,075
|
PIMCO TOTAL RETURN FUND ADMINISTRATIVE SHS
|
32,871
|
||
9,268
|
PIMCO TOTAL RETURN FUND INSTL CL
|
99,077
|
||
3,994
|
PIMCO TOTAL RETURN FUND-CL A
|
42,695
|
||
1,004
|
POLARIS GLOBAL VALUE FUND
|
20,723
|
||
5,718
|
PRICE T ROWE GLOBAL TECHNOLOGY FUND INC SHS BEN INT
|
72,793
|
||
3,687
|
PRICE T ROWE HIGH YIELD FD
|
26,360
|
||
145
|
PRICE T ROWE RETIREMENT FDS INC 2030 FD
|
3,285
|
||
4,300
|
PRICE T ROWE RETIREMENT FDS INC RETIREMNT 2025 FD ADVSR CL
|
65,829
|
||
2,658
|
PRICE T ROWE STRATEGIC INCOME FD INC
|
30,194
|
||
7,803
|
PRIMECAP ODYSSEY FDS AGGRESSIVE GROWTH FD
|
231,373
|
||
16,547
|
PRIMECAP ODYSSEY FDS GROWTH FD
|
390,674
|
||
1,751
|
PRIMECAP ODYSSEY FDS STK FD
|
37,058
|
||
2,026
|
PRINCIPAL FDS INC HIGH YIELD FD CL P
|
15,721
|
||
4,332
|
PRINCIPAL INVS FD INC REAL ESTATE SECS FD INSTL CL
|
76,798
|
||
192
|
PROFESSIONALLY MANAGED PORT FD ASTERISK X CONSERVATIVE UPGRADE FUND
|
7,650
|
||
328
|
PROFESSIONALLY MANAGED PORT FD ASTERISK X FLEXIBLE INCOME FUND
|
10,121
|
||
394
|
PROFESSIONALLY MANAGED PORT FOLIOS VILLERE BALANCED FD
|
10,077
|
||
29,181
|
PROFESSIONALLY MANAGED PORT OSTERWEIS STRATEGIC INCOME FD
|
345,508
|
||
1,719
|
PROFESSIONALLY MANAGED PORTF HODGES FUND
|
61,232
|
||
717
|
PROFESSIONALLY MANAGED PORTFOLIOS HODGES SM CAP FD
|
13,383
|
||
4,787
|
PROFESSIONALLY MANAGED PRTFL AKRE FOCUS FD RETAIL CL
|
99,718
|
||
421
|
PROFUNDS CONSUMER SERVICES ULTRASECTOR INV CL
|
28,141
|
||
49
|
PROFUNDS EUROPE 30 FUND INV CL
|
782
|
||
23
|
PROFUNDS HEALTH CARE ULTRASECTOR INVT CL
|
787
|
881
|
PROFUNDS INC INVESTOR CL BIOTECHNOLOGY ULTRASECTOR
|
169,460
|
||
2,033
|
PROFUNDS INTERNET ULTRASECTOR SERV CL
|
63,056
|
||
178
|
PROFUNDS INTERNET ULTRASECTOR INVST CL
|
6,490
|
||
89
|
PROFUNDS MUT FDS BANKING ULTRASECTOR PROFUND
|
2,501
|
||
252
|
PROFUNDS OIL & GAS ULTRASECTOR INVESTOR CL
|
13,950
|
||
1,755
|
PROFUNDS PRECIOUS METALS ULTRASECTOR INV CL
|
21,113
|
||
597
|
PROFUNDS REAL ESTATE ULTRASECTOR PROFUND INV CL
|
16,574
|
||
9,231
|
PROFUNDS RISING RATES OPPORTUNITY 10 INV CL
|
169,210
|
||
397
|
PROFUNDS RISING U S DOLLAR PROFUND INV
|
9,869
|
||
4,138
|
PROFUNDS SHORT NASDAQ-100 INV CL
|
19,323
|
||
2,452
|
PROFUNDS SHORT PRECIOUS METALS PROFUND INVT CL
|
21,824
|
||
685
|
PROFUNDS SHORT PRECIOUS METALS PROFUND SVC CL
|
6,354
|
||
1,253
|
PROFUNDS SHORT REAL EST PROFUND INV CL
|
6,566
|
||
643
|
PROFUNDS TELECOMM ULTRASECTORINV CL
|
12,790
|
||
9
|
PROFUNDS ULTRA SMALL/CAP INVSTR CL
|
348
|
||
202
|
PROFUNDS ULTRAJAPAN INVESTOR CLASS
|
3,496
|
||
364
|
PROFUNDS ULTRAJAPAN SERVICE CLASS
|
5,679
|
||
349
|
PROFUNDS ULTRAMID-CAP INVESTOR CLASS
|
27,891
|
||
236
|
PROFUNDS ULTRASHORT DOW 30 FD INVESTOR CL
|
1,941
|
||
3,384
|
PROFUNDS ULTRASHORT INTL PROFUND INVS
|
10,726
|
||
4,581
|
PROFUNDS ULTRASHORT SMALL-CAP FD INV CL
|
15,209
|
||
370
|
PROFUNDS US GOVT PLUS INV CL
|
14,699
|
||
22,658
|
PROVIDENT TR MUT FDS INC PROVIDENT TR STRATEGY FD
|
256,720
|
||
3,298
|
PRUDENTIAL JENNISON EQUITY INCOME FUND CLASS Z
|
56,303
|
||
127
|
PRUDENTIAL JENNISON HEALTH SCIENCES FUND CLASS A
|
5,120
|
||
515
|
PRUDENTIAL JENNISON NATURAL RESOURCES FUND INC CLASS Z
|
26,366
|
||
331
|
PRUDENTIAL JENNISON SMALL COMPANY FUND INC CLASS A
|
9,065
|
||
187
|
PRUDENTIAL JENNISON UTILITY FUND CLASS A
|
2,687
|
||
297
|
PRUDENTIAL JENNISON UTILITY FUND CLASS C
|
4,264
|
||
2,152
|
PUTNAM EQUITY INCOME FD NEW CL Y
|
44,057
|
||
8
|
PUTNAM FDS TR EQUITY SPECTRUM FD CL A
|
331
|
||
5,664
|
PUTNAM GLOBAL NAT RES FD CL C
|
112,941
|
||
37
|
PUTNAM GLOBAL NATURAL RESOURCES FUND-CL A
|
802
|
||
2,706
|
RAINIER INVT MGMT MUT FDS MID CAP EQUITY PORTFOLIO
|
140,715
|
||
3,191
|
RBB FD INC SCHNEIDER VALUE FD CL PPP
|
59,726
|
||
1,443
|
RBB FUND INC SCHNEIDER SMALL CAP VALUE FD
|
30,149
|
||
4,197
|
RBC MICRO CAP VALUE FUND CLASS I
|
115,848
|
||
194
|
RIDGEWORTH FDS LARGE CAP VALUE EQUITY FD CL I
|
3,258
|
||
3,630
|
RIDGEWORTH FDS MID-CAP VALUE EQUITY FD CL I
|
49,472
|
||
6,373
|
RIDGEWORTH FDS SEIX FLTG RATE INCOME FD CL I
|
57,743
|
||
600
|
ROWE T PRICE CAPITAL APPRECIATION FD ADVISOR CLASS
|
15,276
|
||
476
|
ROWE T PRICE DIVID GROWTH FD INC ADVISOR CL
|
15,984
|
||
8,174
|
ROWE T PRICE INFLATION PROTECTED BOND FUND INC
|
98,166
|
||
6,751
|
ROWE T PRICE INTL FDS INC GLOBAL INFRASTRUCTURE FD
|
80,939
|
||
2,185
|
ROWE T PRICE INTL INDEX FD INC INTL EQUITY INDEX FD
|
29,569
|
||
147
|
ROWE T PRICE NEW AMER GROWTH ADVISOR CL
|
6,409
|
||
7,197
|
ROWE T PRICE NEW INCOME FD ADVISOR CL
|
66,784
|
||
953
|
ROWE T PRICE REAL ESTATE FD ADVISOR CLASS
|
20,433
|
||
5,108
|
ROYCE EUROPEAN SMALLER COMPANIES FD SVC CL
|
63,444
|
||
203
|
ROYCE FD INTL SMALLER-COS FD SVC CL
|
2,432
|
||
417
|
ROYCE FD PREMIER FD SERVICE CL
|
9,040
|
||
2,926
|
ROYCE FD SPECIAL EQUITY FD
|
73,215
|
||
907
|
ROYCE FUND LOW PRICED STOCK SERVICE
|
12,352
|
||
408
|
ROYCE FUND PREMIER SERIES
|
9,013
|
||
1,256
|
ROYCE FUND ROYCE OPPORTUNITY FUND
|
19,514
|
||
376
|
ROYCE FUND TOTAL RETURN FUND
|
6,188
|
||
16,381
|
ROYCE FUND VALUE PLUS FUND SERVICE CL
|
277,323
|
||
7,746
|
ROYCE FUND-PENNSYLVANIA MUTUAL FUND INVESTMENT CL
|
114,099
|
||
103
|
ROYCE GLOBAL VALUE FUND SVC CL
|
1,407
|
||
5,702
|
RYDEX DYNAMIC FDS INVERSE DOW 2X STRATEGY CL C
|
29,876
|
||
90
|
RYDEX DYNAMIC FDS INVERSE DOW 2X STRATEGY CL H
|
511
|
||
2,754
|
RYDEX DYNAMIC FDS INVERSE NASDAQ-100 2X STRATEGY CL C
|
11,211
|
||
2,511
|
RYDEX DYNAMIC FDS INVERSE NASDAQ-100 2X STRATEGY CL H
|
11,299
|
||
1,190
|
RYDEX DYNAMIC FDS INVERSE S&P 500 2X STRAT CL H
|
5,723
|
||
90
|
RYDEX DYNAMIC FDS NASDAQ-100 2X STRATEGY CL H
|
24,133
|
123
|
RYDEX SER FDS COMMODITIES STRATEGY FD CL A
|
1,843
|
||
8,819
|
RYDEX SER FDS INV RUSSELL 2000 2X STRAT CL C
|
57,323
|
||
109
|
RYDEX SER FDS INVERSE HIGH YIELD STRATEGY FD CL C
|
2,260
|
||
91
|
RYDEX SER FDS RUSSELL 2000 2X STRATEGY CL H
|
28,402
|
||
1
|
RYDEX SERIES FDS GOVT LG BOND 1.2X STRAT CL ADV
|
7
|
||
18,049
|
RYDEX SERIES FDS INVERSE GVT LG BD STRAT CL INV
|
180,489
|
||
12,598
|
RYDEX SERIES FDS INVERSE S&P 500 STRAT CL INV
|
216,932
|
||
1,005
|
RYDEX SERIES TRUST BIOTECHNOLOGY FUND INV CL
|
64,368
|
||
246
|
RYDEX SERIES TRUST NASDAQ-100
|
5,257
|
||
277
|
RYDEX SERIES TRUST PRECIOUS METALS FUND
|
9,106
|
||
39
|
SARATOGA HEALTH AND BIOTECHNOLOGY CLASS A
|
1,049
|
||
133
|
SATUIT CAP MGMT TR MICRO CAP FD CL A
|
5,081
|
||
65,568
|
SATURNA INVESTMENT TRUST SEXTANT INTERNATIONAL FUND
|
1,053,021
|
||
609
|
SCHRODER SER TR EMERGING MKTS EQUITY FUND ADVISOR CL
|
8,094
|
||
312
|
SCHWAB CAP TR LAUDUS INTL MARKET MASTERS FUND INV CLASS
|
7,499
|
||
43,743
|
SCHWAB FUNDAMENTAL US LARGE COMPANY INDEX FUND
|
621,147
|
||
6,574
|
SCHWAB TOTAL BOND MARKET INDEX FUND
|
60,807
|
||
4,130
|
SCHWARTZ INVT TR AVE MARIA RISING DIVIDEND FD
|
72,518
|
||
1,109
|
SCHWARTZ INVT TR AVE MARIA SMALL CAP FD
|
15,609
|
||
1,609
|
SCOTIA INSTL FDS DYNAMIC ENERGY INCOME FD CL I
|
20,695
|
||
216
|
SCOUT FDS CORE BD FD INSTL CL
|
2,451
|
||
2,535
|
SCOUT FDS INTERNATIONAL FD
|
94,449
|
||
10,779
|
SCOUT FDS MID CAP FD
|
191,976
|
||
1,006
|
SELECTED AMERICAN SHARE INC CL D
|
50,536
|
||
1,324
|
SELECTED AMERICAN SHARES INC
|
66,597
|
||
269
|
SENTINEL GROUP FDS INC INTERNATIONAL EQUITY CL A
|
5,485
|
||
421
|
SMALLCAP WORLD FUND INC CL C
|
19,153
|
||
153
|
SMALLCAP WORLD FUND INC CL F1
|
7,472
|
||
642
|
SMEAD VALUE FD
|
23,236
|
||
366
|
SOUTHERNSUN SMALL CAP FD INV CL
|
11,099
|
||
351
|
SSGA FUNDS EMERGING MARKETS FUND
|
6,230
|
||
76
|
SSGA FUNDS TUCKERMAN ACTIVE REIT
|
980
|
||
820
|
STRATTON FDS INC-SMALL CAP YIELD FD
|
60,149
|
||
57
|
SUNAMERICA SPECIALTY SER FOCUSED ALPHA GROWTH FD CL A
|
1,390
|
||
1,528
|
SYMONS VALUE INSTITUTIONAL FUND
|
18,370
|
||
813
|
T ROWE PRICE BLUE CHIP GROWTH FUND INC
|
52,503
|
||
227
|
T ROWE PRICE BLUE CHIP GROWTH FUND INC ADVISOR CL
|
14,565
|
||
18,297
|
T ROWE PRICE CAPITAL APPRECIATION FUND-SBI
|
469,490
|
||
2,554
|
T ROWE PRICE DIVERSIFIED SMALL-CAP GROWTH FUND-SBI
|
63,826
|
||
163
|
T ROWE PRICE DIVIDEND GROWTH FUND INC
|
5,494
|
||
199
|
T ROWE PRICE EQUITY INCOME FUND ADVISOR CL
|
6,530
|
||
13,093
|
T ROWE PRICE EQUITY INCOME FUND-SBI
|
429,982
|
||
640
|
T ROWE PRICE FINANCIAL SERVICES FUND INC
|
13,170
|
||
2,287
|
T ROWE PRICE GLOBAL REAL ESTATE FD INC
|
40,784
|
||
2,289
|
T ROWE PRICE GLOBAL REAL ESTATE FD INC ADVISOR CL
|
40,606
|
||
425
|
T ROWE PRICE GROWTH STK FD INC GROWTH STK FD ADV CL
|
22,062
|
||
3,825
|
T ROWE PRICE GROWTH STOCK FUND INC
|
201,067
|
||
982
|
T ROWE PRICE HEALTH SCIENCES FUND INC
|
56,741
|
||
3,657
|
T ROWE PRICE HIGH YIELD FUND INC ADVISOR CL
|
26,078
|
||
140
|
T ROWE PRICE INTL FDS INC EMERGING EUROPE MEDITERRANEAN
|
2,777
|
||
8,104
|
T ROWE PRICE INTL FUNDS INC EMERGING MARKETS BOND FUND
|
101,140
|
||
3,350
|
T ROWE PRICE INTL FUNDS INC EMERGING MARKETS STOCK FUND
|
107,952
|
||
2,906
|
T ROWE PRICE INTL FUNDS INC EUROPEAN STOCK FUND
|
62,323
|
||
2,306
|
T ROWE PRICE INTL FUNDS INC GLOBAL STOCK FUND
|
55,725
|
||
20,180
|
T ROWE PRICE INTL FUNDS INC INTERNATIONAL BOND FUND
|
191,708
|
||
4,562
|
T ROWE PRICE INTL FUNDS INC INTERNATIONAL DISCOVERY FUND
|
254,287
|
||
3,671
|
T ROWE PRICE INTL FUNDS INC JAPAN FUND
|
37,449
|
||
6,352
|
T ROWE PRICE INTL FUNDS INC LATIN AMERICA FUND
|
190,625
|
||
2,410
|
T ROWE PRICE INTL FUNDS INC NEW ASIA FUND
|
38,579
|
||
1,200
|
T ROWE PRICE MEDIA & TELECOMMUNICATIONS FUND INC
|
83,319
|
||
380
|
T ROWE PRICE MID CAP GROWTH FUND INC ADVISOR CL
|
27,017
|
||
702
|
T ROWE PRICE MID-CAP GROWTH FUND INC
|
51,061
|
||
660
|
T ROWE PRICE NEW AMERICA GROWTH FUND-SBI
|
29,137
|
||
2,748
|
T ROWE PRICE NEW ERA FUND INC
|
122,065
|
||
46,849
|
T ROWE PRICE NEW HORIZONS FUND INC
|
2,167,723
|
5,321
|
T ROWE PRICE PERSONAL STRATEGY INCOME FUND
|
97,640
|
||
1,022
|
T ROWE PRICE REAL ESTATE FUND INC
|
21,685
|
||
871
|
T ROWE PRICE SMALL CAPITAL VALUE FUND INC
|
43,865
|
||
1,869
|
T ROWE PRICE VALUE FUND INC
|
63,105
|
||
678
|
TANAKA FUNDS INC GROWTH FUND CL R
|
12,471
|
||
222
|
TARGET PORTFOLIO TR SMALL CAPITALIZATION VALUE PORTFOLIO
|
5,947
|
||
374
|
TCW FDS INC EMERGING MKTS INCOME FD CL I
|
3,141
|
||
6,636
|
TCW FDS INC EMERGING MKTS INCOME FD CL N
|
71,867
|
||
592
|
TCW FDS INC TOTAL RETURN BOND FD CL N
|
6,121
|
||
7,486
|
TEMPLETON GLOBAL BOND FD CL A
|
98,369
|
||
26,608
|
TEMPLETON GLOBAL BOND FUND ADVISOR CL
|
348,302
|
||
570
|
TEMPLETON GROWTH FUND INC CL R
|
14,111
|
||
3,810
|
THIRD AVENUE INTL VALUE FD INSTL CLASS
|
77,262
|
||
783
|
THIRD AVENUE VALUE FUND INSTL CLASS
|
44,839
|
||
13,640
|
THOMPSON BOND FUND
|
160,134
|
||
5,254
|
THORNBURG INCOME TRUST LIMITED TERM INCOME FUND CL A
|
69,771
|
||
5,213
|
THORNBURG INCOME TRUST LTD TERM U S GOVT FUND CL A
|
69,078
|
||
1,857
|
THORNBURG INTL VALUE FUND CL I
|
59,530
|
||
262
|
THORNBURG INVT TR DEVELOPING WORLD FD CL A
|
4,908
|
||
613
|
THORNBURG INVT TR INTL VALUE FD CL C
|
17,950
|
||
3,449
|
THORNBURG INVT TR INTL VALUE FD CL R 5
|
110,421
|
||
259
|
THORNBURG INVT TRUST VALUE FUND CL A
|
11,685
|
||
15,167
|
TIAA CREF INSTL EQUITY INDEX FD RETAIL CL
|
217,946
|
||
234
|
TIAA CREF INSTL MUT FDS LARGE CAP VALUE BOND RETAIL
|
3,987
|
||
1,711
|
TIAA CREF INSTL MUT FDS MID CAP VALUE FD RETAIL CL
|
38,267
|
||
452
|
TIAA CREF INSTL MUT FDS REAL ESTATE SECS FD RETAIL CL
|
5,513
|
||
9,309
|
TOCQUEVILLE GOLD FUND
|
306,265
|
||
1,376
|
TOCQUEVILLE TR DELAFIELD FD
|
52,352
|
||
793
|
TOUCHSTONE SANDS CAPITAL SELECT GROWTH FUND CL Y
|
14,173
|
||
8,241
|
TOUCHSTONE SANDS CAPITAL SELECT GROWTH FUND CL Z
|
143,965
|
||
2,428
|
TOUCHSTONE ULTRA SHORT DURATION FIXED INCOME FD CL Y
|
22,924
|
||
1,239
|
TURNER SPECTRUM FUND INVESTOR CL
|
14,310
|
||
1,990
|
TWEEDY BROWNE FUND INC GLOBAL VALUE FUND
|
52,981
|
||
990
|
U S GLOBAL INVESTORS FUNDS EMERGING EUROPE FUND
|
8,735
|
||
18,872
|
U S GLOBAL INVESTORS GOLD AND PRECIOUS METALS FUND
|
113,232
|
||
668
|
UNDISCOVERED MANAGERS FDS BEHAVIORAL VALUE FD CL A
|
35,264
|
||
1,633
|
UNIFIED SER TR APPLESEED FD
|
22,826
|
||
868
|
UNIFIED SER TR IRON STRATEGIC INCOME FD INV
|
10,156
|
||
166
|
UNIFIED SER TR ROOSEVELT MULTI-CAP FUND
|
3,109
|
||
1,270
|
US GLOBAL INVESTORS CHINA REGION FUND
|
10,518
|
||
15,407
|
US GLOBAL INVESTORS GLOBAL RESOURCES FUND
|
144,206
|
||
3,611
|
US GLOBAL INVESTORS WORLD PRECIOUS MINERALS FUND
|
20,549
|
||
1,772
|
VALUE LINE AGGRESSIVE INCOME TRUST-SBI
|
8,593
|
||
141
|
VALUE LINE ASSET ALLOCATION FUND INC
|
3,798
|
||
521
|
VALUE LINE PREMIER GROWTH FD INC
|
17,694
|
||
14,375
|
VALUED ADVISERS TR SOUND MIND INVESTING FD
|
196,799
|
||
967
|
VALUED ADVISERS TR SOUND MIND INVSTNG DYNAMIC INVESTOR
|
10,526
|
||
3,091
|
VAN ECK EMERGING MARKETS CLASS C
|
41,081
|
||
1,531
|
VANGUARD 500 INDEX FUND INVESTOR SHARES
|
260,773
|
||
2,312
|
VANGUARD BALANCED INDEX FUND INC
|
63,644
|
||
1,043
|
VANGUARD BD INDEX FDS MID CAP GRWTH INDEX FD ADMIRAL
|
40,511
|
||
365
|
VANGUARD BD INDEX FDS MID CAP VALUE INDEX FD ADMIRAL
|
15,081
|
||
605
|
VANGUARD BD INDEX FDS SMALL CAP GRTH IDX FD ADMIRAL
|
26,021
|
||
5,244
|
VANGUARD BD INDEX FDS SMALL CAP VALUE IDX FD ADMIRAL
|
219,318
|
||
2,573
|
VANGUARD BOND INDEX FUND INC INTERMEDIATE TERM PORTFOLIO FD
|
28,531
|
||
1,884
|
VANGUARD BOND INDEX FUND INC SHORT TERM PORTFOLIO
|
19,763
|
||
17,025
|
VANGUARD BOND INDEX FUND INC TOTAL BOND MARKET PORTFOLIO
|
179,785
|
||
2,704
|
VANGUARD CHESTER FDS TARGET RETIREMENT 2015 FD
|
39,943
|
||
5,945
|
VANGUARD CHESTER FDS TARGET RETIREMENT 2040 FUND
|
168,352
|
||
9,598
|
VANGUARD DIVIDEND GROWTH FUND
|
205,005
|
||
7,433
|
VANGUARD EMERGING MARKETS STOCK INDEX FUND
|
192,206
|
||
3,277
|
VANGUARD EQUITY INCOME FD ADMIRAL SHS
|
204,447
|
||
13,069
|
VANGUARD FIXED INC SECS FD INC SHORT TERM INVT GRADE FUND
|
139,834
|
||
2,274
|
VANGUARD FIXED INCOME SECS FD INC-HIGH YIELD CORP PORTFOL
|
13,713
|
||
3,853
|
VANGUARD FIXED INCOME SECS INTER TERM INVT GRADE INV CL
|
37,256
|
||
820
|
VANGUARD FIXED INCOME SECS INVT GRADE BD PORTFOLIO
|
7,911
|
||
7,965
|
VANGUARD GNMA FUND
|
83,000
|
||
1,821
|
VANGUARD HORIZON FD INC GLOBAL EQUITY PORTFOLIO
|
42,736
|
||
916
|
VANGUARD INDEX FD MID CAP INDEX FD SIGNAL SHS
|
39,361
|
||
2,646
|
VANGUARD INDEX FDS VALUE INDEX FD SIGNAL SHS
|
82,007
|
||
482
|
VANGUARD INDEX TR MID CAP GROWTH INDEX INV SHS
|
17,105
|
||
51,090
|
VANGUARD INDEX TRUST MID CAPITALIZATION STK PORT
|
1,533,732
|
2,359
|
VANGUARD INDEX TRUST SMALL CAPITLZATION GROWTH
|
81,090
|
||
1,503
|
VANGUARD INDEX TRUST SMALL CAPITLZATION VALUE STK
|
35,060
|
||
6,625
|
VANGUARD INDEX TRUST TOTAL STOCK MARKET PORTFOLIO
|
309,207
|
||
5,856
|
VANGUARD INDEX TRUST-SMALL CAPITALIZATION STOCK FUND
|
308,552
|
||
7,834
|
VANGUARD INFL-PROTECTED SECS
|
101,684
|
||
369
|
VANGUARD INTERNATIONAL GROWTH PORTFOLIO
|
8,617
|
||
283
|
VANGUARD INTERNATIONAL VALUE PORTFOLIO
|
10,583
|
||
3,405
|
VANGUARD INTL EQ IDX FDS INC FTSE ALL WRLD EX US SML FD INV
|
133,279
|
||
1,434
|
VANGUARD INTL EQTY INDX FDS GBL EX-US REAL ESTATE IDX INV
|
31,160
|
||
1,326
|
VANGUARD INTL EQUITY INDEX FUND INC-EUROPEAN PORTFOLIO
|
41,678
|
||
1,147
|
VANGUARD INTL EQUITY INDEX FUND INC-PACIFIC PORTFOLIO
|
13,313
|
||
5,854
|
VANGUARD LARGE CAP INDEX FD
|
200,450
|
||
2,544
|
VANGUARD SPECIALIZED PORTFOLIOS METALS & MINING FD
|
26,309
|
||
2,837
|
VANGUARD SPECIALIZED PORTFOLIOS-ENERGY PORTFOLIO
|
190,989
|
||
1,215
|
VANGUARD SPECIALIZED PORTFOLIOS-HEALTH CARE
|
227,423
|
||
11,245
|
VANGUARD SPECIALIZED PORTFOLIOS-REIT INDEX PORTFOL
|
241,425
|
||
19,670
|
VANGUARD STAR FUND STAR PORTFOLIO
|
469,924
|
||
5,277
|
VANGUARD TOTAL INTL STOCK INDEX FUND
|
88,395
|
||
1,250
|
VANGUARD WELLESLEY INCOME FUND INC
|
31,054
|
||
3,618
|
VANGUARD WELLINGTON FD INC
|
137,278
|
||
9,587
|
VANGUARD WHITEHALL FDS HIGH DIVIDEND YIELD INV SHS
|
236,705
|
||
1,364
|
VANGUARD WHITEHALL FDS INTERNATIONAL EXPLORER FD INVS
|
25,123
|
||
773
|
VANGUARD WHITEHALL FUNDS INC SELECTED VALUE PORTFOLIO
|
21,792
|
||
1,402
|
VANGUARD WINDSOR FUND INC VANGUARD WINDSOR II PORTFOLIO
|
51,542
|
||
188
|
VANGUARD/WINDSOR FUND INC VANGUARD WINDSOR II FD ADMIRAL
|
12,268
|
||
1,085
|
VIRTUS FOREIGN OPPORTUNITIES FUND CLASS A
|
29,655
|
||
1,066
|
WALTHAUSEN FDS SMALL CAP VALUE FD
|
26,018
|
||
262
|
WASATCH ADVISORS FUNDS INC HOISINGTON U S TREASURY FUND
|
3,832
|
||
483
|
WASATCH ADVISORS FUNDS INC SMALL CAP GROWTH FUND
|
25,351
|
||
97
|
WASATCH ADVISORS FUNDS INC ULTRA GROWTH FUND
|
2,439
|
||
61,358
|
WASATCH EMERGING SMALL COUNT RIES FUND
|
190,824
|
||
8,104
|
WASATCH FDS INC 1ST SOURCE INCOME FD
|
81,606
|
||
36,584
|
WASATCH FDS INC EMERGING MKTS SMALL CAP FD
|
96,947
|
||
1,918
|
WASATCH FDS INC INTL GROWTH FD
|
55,711
|
||
6,600
|
WASATCH FDS INC LARGE CAP VALUE FUND
|
81,176
|
||
8,191
|
WASATCH FDS INC LONG/SHORT FD
|
132,853
|
||
893
|
WASATCH WORLD INNOVATORS FD
|
21,033
|
||
1,013
|
WEITZ FDS HICKORY FD
|
59,425
|
||
2,309
|
WEITZ FDS SHORT INTERMEDIATE INCOME FD
|
28,857
|
||
2,353
|
WEITZ PARTNERS III OPPORTUNITY FD
|
38,468
|
||
339
|
WELLS FARGO ADVANTAGE ASIA PACIFIC FUND INV CL
|
3,866
|
||
710
|
WELLS FARGO ADVANTAGE DISCOVERY FUND INV CLASS
|
23,906
|
||
978
|
WELLS FARGO ADVANTAGE FDS EMERGING MRKTS EQUITY FD CL C
|
17,490
|
||
409
|
WELLS FARGO ADVANTAGE FDS INTRNSIC WORLD EQI FD ADMIN CL
|
9,167
|
||
2,075
|
WELLS FARGO ADVANTAGE FDS ULTR SHT TRM MUN INC FD INV CL
|
10,000
|
||
35,805
|
WELLS FARGO ADVANTAGE GROWTH FUND ADMIN CL
|
1,934,526
|
||
1,619
|
WELLS FARGO ADVANTAGE GROWTH FUND INV CL
|
82,706
|
||
156
|
WELLS FARGO SHORT TERM HIGH YIELD BD FD CL A
|
1,293
|
||
2,421
|
WELLS FARGO SHORT TERM HIGH YIELD BOND FUND INV CL
|
20,020
|
||
2,393
|
WESTCORE INTERNATIONAL SMALL-CAP FUND
|
50,873
|
||
28,934
|
WESTCORE PLUS BOND FUND INSTL SHS
|
309,888
|
||
954
|
WESTCORE TR SELECT FD
|
23,096
|
||
602
|
WESTCORE TRUST FLEXIBLE INCOME FUND
|
5,319
|
||
5,283
|
WESTERN ASSET CORE PLUS BOND FD CLASS I
|
59,120
|
||
2,543
|
WESTPORT FUND-CL R
|
82,653
|
||
1,235
|
WILLIAM BLAIR SMALL CAP VALUE FUND CL N
|
21,774
|
||
2,202
|
WINTERGREEN FD INC
|
38,753
|
||
127
|
WORLD FDS INC NEW REMS REAL STATE VALUE OPPTY FD PLATFORM
|
1,963
|
||
401
|
WORLD FUNDS INC NEW TOREADOR INTL FD CL A
|
6,978
|
||
Total Registered Investment Companies
|
$
|
156,155,678
|
||
Notes Receivable From Participants (interest rate ranging from 4.25% through 10.5% maturing through November 2028)
|
$
|
83,912,060
|
||
Net Assets Pending Settlement
|
$
|
(6,296,226)
|
||
TOTAL NET ASSETS
|
$
|
3,043,298,337
|
Number of
|
|||||
Assets Acquired and Disposed
|
Shares
|
Fair Value
|
|||
American Electric Power Company, Inc. Common Stock $6.50 par value (a)
|
|||||
Acquired
|
656,602
|
$
|
29,690,626
|
||
Disposed
|
983,614
|
45,652,119
|
|
(a) Transactions are recorded on the trade date.
|
Party Involved:
|
TCW Asset Management
|
Relationship to Plan, employer or other party-in-interest:
|
Investment Manager
|
Transaction:
|
Payment of Fee in Excess of Contract Amount
|
Dates of Payments:
|
April 2010 & July 2010
|
Amounts of Payments:
|
$5,806.82 & $5,513.23, respectively
|
Party Involved:
|
American Electric Power Service Corporation
|
Relationship to Plan, employer or other party-in-interest:
|
Plan Sponsor/Employer
|
Transaction:
|
Payment of Fee Not Allocable to Plan
|
Date of Payment:
|
February 24, 2012
|
Amount of Payment:
|
$5,625.00
|
Exhibit Number
|
Description
|
||
23
|
Consent of Independent Registered Public Accounting Firm
|