aep11krsp2013.htm



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


 


FORM 11-K

 
 


(Mark One)

[X]
                                     ANNUAL REPORT PURSUANT TO SECTION 15(d)
 
                                     OF THE SECURITIES EXCHANGE ACT OF 1934

For the year ended December 31, 2013

OR

[  ]
                                   TRANSITION REPORT PURSUANT TO SECTION  15(d)
 
                                      OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from                       to





AMERICAN ELECTRIC POWER SYSTEM
RETIREMENT SAVINGS PLAN
(Full title of the plan)

Commission File Number:  1 – 3525


AMERICAN ELECTRIC POWER COMPANY, INC.
1 Riverside Plaza, Columbus, Ohio 43215
(Name of issuer of the securities held
pursuant to the plan and the address
of its principal executive office)


 
 

 




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
 
 
1

 


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the Benefits Finance Committee has duly caused this annual report to be signed by the undersigned thereunto duly authorized.

By:           /s/ Julia A. Sloat             
    Julia A. Sloat, Secretary
 
 

Date:  June 25, 2014

 
2

 



REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

To the Trustees and Participants of the American Electric Power System Retirement Savings Plan

We have audited the accompanying statements of net assets available for benefits of the American Electric Power System Retirement Savings Plan (the “Plan”) as of December 31, 2013 and 2012, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan's internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2013 and 2012, and the changes in net assets available for benefits for the years then ended in conformity with accounting principles generally accepted in the United States of America.

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules of (1) assets (held at end of year) as of December 31, 2013, (2) assets (acquired and disposed of within year), and (3) nonexempt transactions, are presented for the purpose of additional analysis and are not a required part of the basic financial statements, but are supplementary information required by the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. These schedules are the responsibility of the Plan's management. Such schedules have been subjected to the auditing procedures applied in our audit of the basic 2013 financial statements and, in our opinion, are fairly stated in all material respects when considered in relation to the basic financial statements taken as a whole.

/s/  Deloitte & Touche LLP

Columbus, Ohio
June 25, 2014

 
3

 

AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
December 31, 2013 and 2012

   
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.
           


 
4

 

AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
For the Years Ended December 31, 2013 and 2012

   
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.
           

 
5

 

AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
NOTES TO FINANCIAL STATEMENTS
For the Years Ended December 31, 2013 and 2012
 
1.   PLAN DESCRIPTION
 
The following description of the American Electric Power System Retirement Savings Plan (Plan) is provided for general information purposes only.  Participants should refer to the Plan documents for a more complete description of the Plan’s information.

General

The Plan is a defined contribution plan that became effective and commenced operations on January 1, 1978.  The Plan covers eligible regularly-scheduled full-time and part-time employees of the participating subsidiaries of American Electric Power Company, Inc. (AEP or the Company).  American Electric Power Service Corporation (AEPSC) is the plan administrator (Plan Administrator) and plan sponsor (Plan Sponsor).  AEPSC is a wholly-owned subsidiary of AEP.  JPMorgan Chase Bank N.A. is the custodian and trustee and JPMorgan Retirement Plan Services LLC is the record keeper with respect to the Plan, collectively (JPMorgan or the Trustee).

Contributions

Newly eligible employees are automatically enrolled in the Plan with a 3% pretax deferral.  Employees may opt out of the automatic enrollment or revise their elections within a reasonable period of time after they are notified of their right not to have such pretax deferrals made on their behalf (or to have such pretax deferrals made at a different percentage) and how their account will be invested in the absence of their making an investment election.  The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).  Generally, eligible employees participating in the Plan may make contributions (pretax, after-tax or Roth 401(k) contributions) in 1% increments up to 50% of their eligible pay (within Internal Revenue Service (IRS) limits).  Participants who are age 50 and older are able to contribute additional pretax or Roth 401(k) amounts as catch-up contributions.  The catch-up contribution limit was $5,500 for both 2013 and 2012.  An employee who is eligible to participate in the Plan also may roll eligible retirement benefits into the Plan. The Company contributes to the Plan, on behalf of each participant, an amount equal to 100% of the participant’s non-rollover contributions up to 1% of the participant’s eligible compensation for each payroll period, plus 70% of the participant’s contributions for the next 5% of the participant’s eligible compensation for each payroll period, subject to certain limitations.  All contributions that are withheld from a participant’s pay or are made by the Company are deposited in the American Electric Power System Retirement Savings Plan Trust after each pay period.  The Plan, in a manner consistent with the requirements under section 401 of the Internal Revenue Code (IRC), restricts the amount that certain participants who are deemed highly compensated may contribute to the Plan, provided that it is AEPSC’s intent that the Plan include a “qualified automatic contribution arrangement” (as defined in Section 401(k)(13) of the IRC) effective January 1, 2009, such that only the after-tax contributions made by such highly compensated participants may be subject to such restrictions.

On November 1, 2012, assets of $152,008 were transferred into the Plan in connection with the merger of the terminated AEP Ohio Coal, LLC, Employee Savings Plan into the Plan.  The merger of the plans was necessary under applicable tax regulations that preclude the distribution of amounts from a terminated plan to participants who have not consented to such a distribution to the extent a related employer maintains another individual account retirement plan to which such amounts may be transferred.

Investments

The investment options offered by the Plan are a series of separately managed accounts, interests in commingled and collective trusts, the AEP Stock Fund and self-directed mutual fund brokerage accounts.  Affiliates of JPMorgan provide custody, trustee, recordkeeping and other services with regard to investments.

 
6

 
Notes Receivable from Participants

Participants may borrow from their savings plan accounts a minimum of $1,000 but no more than the lesser of $50,000 or 50% of their account balance.  Loan terms range from 12 months to 60 months (or up to 180 months for certain residential loans), or any monthly increment in-between.  Interest rates, fixed for the life of the loan, are calculated by adding 1% to the prime rate, as reported in the Wall Street Journal.  For loans taken before July 1, 2006, the interest rate was in effect as of the first business day of the calendar quarter in which the loan was taken.  For loans taken after July 1, 2006, the interest rate is in effect as of the first business day of the calendar month in which the loan is taken.  Active employees repay principal and interest payments through payroll deductions.

Participant loans and the accrued interest are collateralized by the account balance, and upon default, the outstanding balance is subject to income taxes and possible tax penalty.

Participant Accounts

Individual accounts are maintained for each Plan participant.  Each participant’s account is credited with the participant’s contributions, the Company’s matching contributions and investment earnings and losses and charged with benefit payments and allocations of Plan expenses.  The benefit to which a participant is entitled is the benefit that can be provided from the participant’s account.

Participants may transfer the value of their cumulative contributions, in any whole percentage or dollar amount, among investments, and change their investment elections on a daily basis.  Participants may change their payroll contribution elections coinciding with the Company’s payroll periods.

Vesting and Distribution

Participants are immediately vested in their pretax, after-tax, Roth 401(k) and the Company matching contributions, including earnings thereon.  Excluding participants’ pretax and Roth 401(k) contributions and post-2008 Company matching contributions, all participants may make an unlimited number of withdrawals of their interest in the Plan, including their pre-2009 Company matching contributions.  Pretax and Roth 401(k) contributions are eligible for withdrawal by participants only after age 59-1/2, or earlier upon hardship (as defined by the Plan) or following termination of employment.  Post-2008 Company matching contributions are eligible for withdrawal by participants only after age 59-1/2, or earlier following earlier termination of employment, but not upon hardship.

The AEP Stock Fund, a Plan investment option, is an Employee Stock Ownership Plan.  As a result, participants can elect to have dividends generated from their AEP Stock Fund holdings paid out in cash, rather than automatically reinvested in the fund.  The dividend payouts are made periodically (at least annually) and are treated as ordinary income to the participants for tax purposes.
 
2.   ACCOUNTING POLICIES
 
Basis of Accounting

The accompanying financial statements are prepared on an accrual basis of accounting, in conformity with accounting principles generally accepted in the United States of America (GAAP).

Investment Valuation and Income Recognition

Participants direct the investment of their contributions into various investment options offered by the Plan.  Investments are reported in the Statements of Net Assets Available for Benefits at fair value while benefit responsive investment contracts are reported at fair value with an adjustment to contract value.  The Statement of Changes in Net Assets Available for Benefits is prepared using contract value basis.  Fair value of a financial instrument is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

 
7

 
Purchases and sales of securities have been recorded on a trade-date basis.  Net appreciation includes the Plan’s gains or losses on investments bought or sold as well as held throughout the year.  Interest income is recorded on an accrual basis.  Dividends are recorded on the ex-dividend date.  These amounts are reinvested by the Trustee in the funds that generated such income with the exception of the AEP Stock Fund, which pays or reinvests dividends at the direction of each participant.

Notes Receivable from Participants

Notes Receivable from Participants are measured at their unpaid principal balance plus any accrued but unpaid interest.  Delinquent participant loans are not recorded as distributions until actually distributed based on the terms of the Plan document.

Administrative and Management Fees

Administrative and Management Fees incurred relating to JPMorgan during 2013 and 2012 totaled $2,274,351 and $2,529,547, respectively.  The Plan directly pays for administrative, recordkeeping and management fees.

Distributions to Participants

Distributions to participants are recorded when paid.  There were no material amounts of distributions due to participants who requested distributions from the Plan as of December 31, 2013 and 2012.

Use of Estimates

The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of net assets available for benefits and changes therein and disclosure of contingent assets.  Actual results could differ from the estimates.

Fair Value Measurements of Assets

The accounting guidance for “Fair Value Measurements and Disclosures” establishes a fair value hierarchy that prioritizes the inputs used to measure fair value.  The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements).  AEPSC’s staff independently monitors valuation policies and procedures and provides members of the Benefits Finance Committee (BFC) and its Investment Subcommittee (IC), which was formed by amendment to the BFC’s Bylaws on January 9, 2013, various monthly and quarterly reports, regarding compliance with policies and procedures.  The BFC consists of AEPSC’s Chief Financial Officer, Treasurer, Chief Administrative Officer, Chief Risk Officer, Executive Vice President General Counsel in addition to the President of Energy Supply.  The IC consists of AEPSC’s Treasurer, Chief Risk Officer, Director of Trusts and Investments and Manager of Corporate Finance.
 
The Plan utilizes its Trustee’s external pricing service to estimate the fair value of the underlying investments held in the Plan.  The Plan’s investment managers review and validate the prices utilized by the Trustee to determine fair value.  The Company performs its own valuation testing to verify the fair values of the securities, in part by reviewing audit reports of the Trustee’s operating controls and valuation processes.

Assets in the Plan are classified using the following methods.  Equities are classified as Level 1 holdings if they are actively traded on exchanges.  Items classified as Level 1 are investments in money market funds, fixed income and equity mutual funds and domestic equity securities.  They are valued based on observable inputs primarily unadjusted quoted prices in active markets for identical assets.  Items classified as Level 2 are primarily investments in individual fixed income securities and cash equivalents funds.  Fixed income securities do not trade on an exchange and do not have an official closing price but their valuation inputs are based on observable market data.

The Trustee uses multiple pricing vendors for the assets held in trust.  The Trustee’s pricing vendors calculate bond valuations using financial models and matrices.  The models use observable inputs including yields on benchmark securities, quotes by securities brokers, rating agency actions, discounts or premiums on securities compared to par prices, changes in yields for U.S. Treasury securities, corporate actions by bond issuers, prepayment schedules and
 
 
8

 
histories, economic events and, for certain securities, adjustments to yields to reflect changes in the rate of inflation.  Cash equivalent funds are held to provide liquidity and meet short term cash needs.  The underlying holdings in the cash funds consist of commercial paper, certificates of deposit, treasury bills, and other short-term debt securities.  Short-term debt securities are valued based on observable market data by the trust banks pricing vendor.  Other securities with model-derived valuation inputs that are observable are also classified as Level 2 investments.  Investments with unobservable valuation inputs are classified as Level 3 investments.  Plan assets included in Level 3 are primarily real estate and emerging market investments that are valued using methods requiring judgment, including appraisals.

Equities and Registered Investment Companies are valued based on observable inputs, primarily unadjusted quoted prices in active markets for identical assets.

Investment Descriptions

Common Collective Trusts and the Managed Income Fund are valued at the net asset value per share (NAV).  The basis of the reported NAV is the total fair value of all underlying holdings less expenses and liabilities.  The value of each unit is determined by dividing the net asset value of the fund by the number of applicable units outstanding on the valuation date.  These investments are categorized as Level 2 if they can be redeemed at the NAV price.  The JPMorgan Strategic Property Fund has been categorized as a Level 3 investment since the underlying holdings are diversified real estate assets that are difficult to value and rely on unobservable inputs to measure fair value.  The JPMorgan Emerging Markets Fund has been classified as a Level 3 investment since the majority of the holdings are equity securities traded on foreign stock exchanges in emerging nations that have limited liquidity.

JPMorgan Liquidity Fund

The objective of this fund is to provide liquidity and meet short-term cash needs while preserving principal.  The underlying holdings in the fund are investment grade money market instruments including commercial paper, certificates of deposit, treasury bills and other types of investment grade short-term debt securities.  The fund is valued each business day.

JPMorgan US Treasury Plus Money Market Fund

The objective of this fund is to provide liquidity and meet short-term cash needs while preserving principal.  The underlying holdings in the fund include U.S. Treasury obligations, including Treasury bills, bonds and notes and other obligations issued or guaranteed by the U.S. Treasury, and repurchase agreements fully collateralized by U.S. Treasury securities.

Mellon Capital Small Cap Stock Index Fund

The objective of this fund is to track the performance of the Russell 2000 Index.  The underlying equity holdings of this fund are actively traded on major domestic stock exchanges and have readily available market quotes.

Mellon Capital Stock Index Fund

The objective of this fund is to track the performance of the S&P 500 Index.  The underlying equity holdings of this fund are actively traded on major domestic stock exchanges and have readily available market quotes.

Mellon Capital International Stock Index Fund

The objective of this fund is to track the performance of the MSCI Europe, Australia, and Far East (MSCI EAFE) Index.  The underlying equity holdings of this fund are actively traded on the major non-U.S stock exchanges and have readily available market quotes.

JPMorgan US Real Estate Securities Fund

The objective of this fund is to exceed the performance of the MSCI Real Estate Investment Trust (MSCI U.S.
 
 
9

 
REIT) Index.  The underlying real estate investment trust equity holdings of this fund are actively traded on the major domestic stock exchanges and have readily available market quotes.
 
Mellon Capital Aggregate Bond Index Fund

The objective of this fund is to track the performance of the Barclay’s Capital U.S. Aggregate Bond Index.  Fixed income securities do not trade on an exchange and do not have an official closing price.

Mellon Capital Treasury Inflation-Protected Securities Fund

The objective of this fund is to track the performance of the Barclays Capital U.S. Treasury Inflation-Protected Securities Index.  Treasury Inflation-Protected Securities are backed by the U.S. government and protect investors from the effects of inflation.  The securities are not actively traded on exchanges and do not have an official closing price.

Metlife Separate Account No. 690

The objective of the fund is to exceed the performance of the Barclays Capital 1-3 year Government/Credit Index.  The fund seeks to preserve principal and an above average level of income with the goal of minimizing overall portfolio risk.  Fixed income securities do not trade on an exchange and do not have an official closing price.

Wells Fargo Fixed Income Fund N

The objective of the fund is to exceed the performance of the Barclays Capital Intermediate Government/Credit Index.  The fund seeks to preserve principal and an above average level of income with the goal of minimizing overall portfolio risk.  Fixed income securities do not trade on an exchange and do not have an official closing price.

JPMorgan Strategic Property Fund

The objective of this fund is to exceed the performance of the National Council of Real Estate Investment Fiduciaries (NCREIF) Property Index.  The underlying holdings in the fund are diversified real estate assets.  This diversified fund consists of multiple properties and no single asset, tenant or location has undue influence over the fund’s value or performance.   The fund’s diversified holdings help mitigate the risk of default and concentration risk.

JPMorgan Emerging Markets Fund

The objective of this fund is to exceed the performance of the MSCI Emerging Markets (MSCI EM) Free Index.  The majority of the underlying holdings of this fund are traded on foreign stock exchanges in emerging markets.  The securities in these economies are typically less efficient and less liquid than those in developed markets.
 
3.   PLAN TERMINATION
 
Although it has not expressed any intent to do so, AEPSC has the right to take such actions as will allow contributions to the Plan to be discontinued at any time and to terminate the Plan subject to the provisions of ERISA.  In the event of Plan termination, participants remain 100 percent vested in their accounts.
 
4.   INVESTMENT CONTRACTS
 
The Managed Income Fund provides a stable value investment option that includes fully benefit-responsive wrap contracts which assure the book value of investments for plan participants.  The fund’s underlying assets, which are held in a trust, utilize wrap contracts issued by four financial institutions as of December 31, 2013 and 2012.  The contracts provide that participants execute plan transactions at contract value.  Contract value represents contributions made to the fund, plus credited interest, less participant withdrawals, without regard to changes in the fair value of the investments and securities underlying the fund.  The rates for crediting interest are reset periodically based on market rates of other similar investments, the current yield of the underlying investments and the spread
 
 
10

 
between the market value and contract value.  The interest crediting rate cannot be less than 0%.  Certain events initiated by the Plan Sponsor, such as plan termination or a plan merger, would limit the ability of the Plan to administer participant-level transactions at contract value or may allow for the termination of the wrap contract at market value, rather than contract value.

The Plan Sponsor does not believe that any events that may limit the ability of the plan to transact at contract value are probable as of December 31, 2013 or the date these financial statements are issued.

During the year ended December 31, 2013, the average yield based on underlying earnings and the average yield based on interest credited to participants were 1.33% and 1.22%, respectively.  During the year ended December 31, 2012, the average yield based on underlying earnings and the average yield based on interest credited to participants were 0.83% and 1.49%, respectively.

5.   INVESTMENTS EXCEEDING FIVE PERCENT OF THE PLAN’S NET ASSETS

Investments exceeding five percent of the Plan’s net assets as of December 31, 2013 and 2012 were as follows:

   
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 

(a) Investment was less than five percent of the Plan’s net assets as of December 31, 2012.

6.   NET APPRECIATION OF INVESTMENTS

During 2013 and 2012, the Plan's investments (including gains and losses on investments bought and sold, as well as held during the year) appreciated (depreciated) in value as follows:
   
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 
 
7.   PARTY-IN-INTEREST TRANSACTIONS
 
Certain transactions involving the Plan and its assets involved parties in interest with respect to the Plan, but those transactions were not prohibited transactions under ERISA because of the applicability of one or more exemptions.  The exempt party-in-interest transactions involving the Plan included the following:  JPMorgan Chase Bank, N.A. has been acting as trustee and custodian under the Plan, while its affiliates have been acting as (a) investment manager for a number of the Plan’s investment options, (b) the Plan’s record keeper and (c) investment advisor or investment manager for a number of plan participants with respect to the amounts held in their Plan accounts.

As of December 31, 2013 and 2012, the Plan held 6,303,223 and 6,630,235 shares, respectively, of common stock of American Electric Power Company, Inc., the Plan Sponsor, with a cost basis of $228,985,169 and $234,634,292, respectively.  During the years ended December 31, 2013 and 2012, the Plan recorded dividend income of $12,470,399 and $13,252,757, respectively, related to its investment in that common stock.

The Plan entered into a non-exempt prohibited transaction when it made two overpayments to an investment manager.  ERISA Section 406(a)(1)(D) prohibits the use of plan assets by, or transfer of plan assets to, a party in
 
 
11

 
interest (such as a fiduciary investment manager). Although an exemption under ERISA 408(b)(2) generally is applicable to contracts with parties (such as investment managers) for services necessary for the operation of a plan where no more than reasonable compensation is paid therefor, the described payments represent the amount invoiced and paid by the Plan in excess of the amount  required by the contract as amended.  The investment manager had just agreed in writing to temporary reduction of its fees, but its subsequent invoices were prepared without that agreed reduction, resulting in the effective overcharge for investment management fees. Immediately upon discovery of the overpayment in August 2013, the Plan secured from the investment manager a repayment of the excess amounts plus lost earnings thereon.  Therefore, the Company has completed the steps to remediate the transaction.

The Plan entered into an additional non-exempt prohibited transaction when it made a payment for services not rendered to the Plan.  ERISA Section 406(a)(1)(D) prohibits the use of plan assets by, or transfer of plan assets to, a party in interest (such as an employer whose employees are covered by the plan). The described payments represent amounts invoiced to the Company for services that were not rendered to the Plan.  Immediately upon discovery of the overpayment in August 2013, the Company reimbursed the Plan plus lost interest thereon.  Therefore, the Company has completed the steps to remediate the transaction.

 
12

 
8.   FAIR VALUE MEASUREMENTS

For a discussion of fair value accounting and the classification of assets within the fair value hierarchy, see the “Fair Value Measurements of Assets” section of Note 2.

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 


 
13

 


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 
 
 
14

 
The following tables set forth a summary of the Plan's investments with a reported Net Asset Value as of December 31, 2013 and 2012:

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 
       

 
15

 
There have been no transfers between Level 1, Level 2, and Level 3 during the years ended December 31, 2013 and 2012.

The following tables set forth a reconciliation of changes in the fair value of investments classified as Level 3 in the fair value hierarchy.

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 
 
9.   RISK AND UNCERTAINTIES
 
The Plan utilizes various investment instruments, including common stock, bonds, commingled funds and investment contracts.  Investment securities are exposed to various risks, such as interest rate, credit and market volatility.  Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such change could materially affect the amounts reported in the financial statements.

 
16

 
10.   FEDERAL INCOME TAX

The IRS has issued a favorable determination letter dated September 24, 2013 with respect to the Plan.  A favorable determination letter indicates that, in the opinion of the IRS, the terms of that the Plan meets the requirements of Section 401(a) of the IRC, and thereby recognizes the exempt status of the Plan’s trust pursuant to Section 501(a) of the IRC.

The Plan has not been amended subsequent to the issuance of that IRS determination letter.  Plan management believes that the Plan is currently designed and operated in compliance with the applicable requirements of the IRC and that the Plan’s trust continues to be tax-exempt.  Therefore, no provision for income taxes has been included in the Plan’s financial statements.

GAAP requires Plan management to evaluate tax positions taken by the Plan and to recognize a tax liability if the Plan has taken an uncertain position that more likely than not would not be sustained upon examination by the IRS. The Plan Administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2013 and 2012, there are no uncertain positions taken or expected to be taken that would require recognition of a liability or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions. However, there are currently no audits for any tax periods in progress.  The Plan Administrator believes it is no longer subject to income tax examinations for years prior to 2010.
 
11.   RECONCILIATION OF FINANCIAL STATEMENTS TO THE FORM 5500
 
Due to changes in the IRS Form 5500 filing requirements, the income statement in Schedule H, Part II, is now required to separately report certain deemed distributions of participant loans, whether or not those loans may otherwise remain collectible and would still be (and are) reflected as assets on the accompanying financial statements, which are prepared on the accrual basis of accounting.  Because loans deemed distributed are no longer to be carried as assets of the Plan unless and until the participant actually undertakes the repayment, amounts reported on Schedule H as Participant Loans as of the beginning and ending of the year were adjusted so that prospectively the amounts reported on Schedule H, Part I, Line 1c(8), columns (a) and (b) are in conformity with the Form 5500 filing requirements, but differ from those reported in the accompanying financial statements.

   
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 
 
 
17

 
As a result of the changes to Form 5500, beginning and ending Net Assets Available for Benefits as well as Increase (Decrease) in Net Assets will differ between reported amounts on the Financial Statements and Form 5500 as follows:

   
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 

 
18

 
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
 
 
 
19

 
 
              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
 
 
 
20

 
 
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
 
 
 
21

 
 
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
 
 
 
22

 
 
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

 
23

 
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
 
 
 
24

 
 
            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
 
 
 
25

 
 
           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
 
 
 
26

 
 
           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
 
 
 
27

 
 
           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
 
 
 
28

 
 
           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
 
 
 
29

 
 
            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
 
 
 
30

 
 
           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
 
 
 
31

 
 
           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
 
 
 
32

 
 
            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
 
 
 
33

 
 
            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
 
 
 
34

 
 
         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
         
 
 
 
35

 
 
         
   
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
 
 
 
36

 
 
         
   
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
 
 
 
37

 
 
            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
 
 
 
38

 
 
            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
 
 
 
39

 
 
           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
 
 
 
40

 
 
               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
 
 
 
41

 
 
            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
 
 
 
42

 
 
            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
 
 
 
43

 
 
            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
 
 
 
44

 
 
            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
 
 
 
45

 
 
            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
 
 
 
46

 
 
               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
 
 
 
47

 
 
               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
 
 
 
48

 
 
            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
 
 
 
49

 
 
            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

 
50

 
AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN 
SCHEDULE OF ASSETS (ACQUIRED AND DISPOSED OF WITHIN YEAR)

   
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.

 
51

 
AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
SCHEDULE OF NONEXEMPT TRANSACTIONS

Excess Payment to Investment Manager

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

Reason Transaction is Nonexempt:  ERISA Section 406(a)(1)(D) prohibits the use of plan assets by, or transfer of plan assets to, a party in interest (such as a fiduciary investment manager).  Although an exemption under ERISA 408(b)(2) generally is applicable to contracts with parties (such as investment managers) for services necessary for the operation of a plan where no more than reasonable compensation is paid therefor, the described payments represent the amount invoiced and paid by the Plan in excess of the amount required by the contract as amended.  The Investment Manager had just agreed in writing to temporary reduction of its fees, but its subsequent invoices were prepared without that agreed reduction, resulting in the effective overcharge for investment management fees. Immediately upon discovery of the overpayment in August 2013, the Plan secured from the Investment Manager a repayment of the excess amounts plus lost earnings thereon.  Therefore, the Company has completed the steps to remediate the transaction.

Payment of Non-Plan Expense

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

Reason Transaction is Nonexempt:  ERISA Section 406(a)(1)(D) prohibits the use of plan assets by, or transfer of plan assets to, a party in interest (such as an employer whose employees are covered by the plan). The described payments represent amounts invoiced to the Company for services that were not rendered to the Plan.  Immediately upon discovery of the overpayment in August 2013, the Company reimbursed the Plan plus lost interest thereon.  Therefore, the Company has completed the steps to remediate the transaction.

 
52

 

AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
EXHIBIT INDEX

Exhibit Number
 
Description
 
     
23
 
Consent of Independent Registered Public Accounting Firm

 
53