|
Anheuser-Busch InBev S.A., ADR
|
03524A108
|
Common Stocks
|
222,300
|
$22,129,965.00
|
2.64 %
|
|
Limited Brands, Inc.
|
501797104
|
Common Stocks
|
383,700
|
$17,136,042.00
|
2.04 %
|
|
PNC Financial Services Group, Inc. (The)
|
693475105
|
Common Stocks
|
236,500
|
$15,727,250.00
|
1.87 %
|
|
Berkshire Hathaway Inc., Class B
|
084670702
|
Common Stocks
|
150,300
|
$15,661,260.00
|
1.85 %
|
|
JPMorgan Chase & Co.
|
46625H100
|
Common Stocks
|
321,000
|
$15,234,660.00
|
1.81 %
|
|
ConocoPhillips
|
20825C104
|
Common Stocks
|
234,600
|
$14,099,460.00
|
1.68 %
|
|
Johnson & Johnson
|
478160104
|
Common Stocks
|
173,300
|
$14,129,149.00
|
1.67 %
|
|
Brown-Forman Corporation, Class B
|
115637209
|
Common Stocks
|
195,825
|
$13,981,905.00
|
1.66 %
|
|
Allergan, Inc.
|
018490102
|
Common Stocks
|
124,900
|
$13,942,587.00
|
1.66 %
|
|
Union Pacific Corporation
|
907818108
|
Common Stocks
|
98,000
|
$13,956,180.00
|
1.65 %
|
|
Harley-Davidson, Inc.
|
412822108
|
Common Stocks
|
256,100
|
$13,650,130.00
|
1.62 %
|
|
Apple Inc.
|
037833100
|
Common Stocks
|
30,600
|
$13,544,478.00
|
1.62 %
|
|
Hyatt Hotels Corporation, Class A
|
448579102
|
Common Stocks
|
311,100
|
$13,448,853.00
|
1.60 %
|
|
Home Depot, Inc. (The)
|
437076102
|
Common Stocks
|
193,700
|
$13,516,386.00
|
1.60 %
|
|
CBS Corporation, Class B
|
124857202
|
Common Stocks
|
279,700
|
$13,059,193.00
|
1.55 %
|
|
Phillips 66
|
718546104
|
Common Stocks
|
185,650
|
$12,989,931.00
|
1.54 %
|
|
Amazon.com, Inc.
|
023135106
|
Common Stocks
|
48,500
|
$12,924,765.00
|
1.53 %
|
|
News Corporation Limited, Class B
|
65248E203
|
Common Stocks
|
407,300
|
$12,528,548.00
|
1.49 %
|
|
Monsanto Company
|
61166W101
|
Common Stocks
|
119,200
|
$12,591,096.00
|
1.49 %
|
|
Philip Morris International Inc.
|
718172109
|
Common Stocks
|
135,500
|
$12,562,205.00
|
1.49 %
|
|
Northern Trust Corporation
|
665859104
|
Common Stocks
|
226,200
|
$12,341,472.00
|
1.47 %
|
|
Estee Lauder Companies, Inc. (The), Class A
|
518439104
|
Common Stocks
|
187,600
|
$12,012,028.00
|
1.43 %
|
|
Honeywell International Inc.
|
438516106
|
Common Stocks
|
157,200
|
$11,845,020.00
|
1.41 %
|
|
Covidien plc
|
G2554F113
|
Common Stocks
|
173,200
|
$11,749,888.00
|
1.40 %
|
|
Pentair, Inc.
|
H6169Q108
|
Common Stocks
|
222,600
|
$11,742,150.00
|
1.39 %
|
|
Pall Corporation
|
696429307
|
Common Stocks
|
168,300
|
$11,506,671.00
|
1.37 %
|
|
Kansas City Southern
|
485170302
|
Common Stocks
|
100,800
|
$11,178,720.00
|
1.33 %
|
|
National Oilwell Varco, Inc.
|
637071101
|
Common Stocks
|
157,500
|
$11,143,125.00
|
1.33 %
|
|
GlaxoSmithKline plc, ADR
|
37733W105
|
Common Stocks
|
238,800
|
$11,202,108.00
|
1.33 %
|
|
Cummins Inc.
|
231021106
|
Common Stocks
|
96,800
|
$11,210,408.00
|
1.33 %
|
|
Travelers Companies, Inc. (The)
|
89417E109
|
Common Stocks
|
130,100
|
$10,953,119.00
|
1.30 %
|
|
Cabot Oil & Gas Corporation
|
127097103
|
Common Stocks
|
159,300
|
$10,770,273.00
|
1.28 %
|
|
American International Group, Inc.
|
026874784
|
Common Stocks
|
275,700
|
$10,702,674.00
|
1.27 %
|
|
Cognizant Technology Solutions Corporation, Class A
|
192446102
|
Common Stocks
|
138,600
|
$10,618,146.00
|
1.26 %
|
|
Dow Chemical Company (The)
|
260543103
|
Common Stocks
|
327,000
|
$10,411,680.00
|
1.24 %
|
|
Microchip Technology Incorporated
|
595017104
|
Common Stocks
|
284,400
|
$10,454,544.00
|
1.24 %
|
|
Mead Johnson Nutrition Company
|
582839106
|
Common Stocks
|
135,300
|
$10,478,985.00
|
1.24 %
|
|
United States Treasury Notes 1.38 %, 11/30/2018
|
912828RT9
|
United States Government Obligations
|
10,000,000
|
$10,259,380.00
|
1.22 %
|
|
Schlumberger Limited
|
806857108
|
Common Stocks
|
137,500
|
$10,297,375.00
|
1.22 %
|
|
Exxon Mobil Corporation
|
30231G102
|
Common Stocks
|
112,600
|
$10,146,386.00
|
1.20 %
|
|
Colgate-Palmolive Company
|
194162103
|
Common Stocks
|
85,000
|
$10,032,550.00
|
1.19 %
|
|
Intuit Inc.
|
461202103
|
Common Stocks
|
152,200
|
$9,991,930.00
|
1.19 %
|
|
Johnson & Johnson 0.07 %, 4/22/2013
|
47816FRN3 04/22/2013
|
Short-Term Securities
|
10,000,000
|
$9,999,572.00
|
1.18 %
|
|
Starbucks Corporation
|
855244109
|
Common Stocks
|
172,100
|
$9,802,816.00
|
1.16 %
|
|
Precision Castparts Corp.
|
740189105
|
Common Stocks
|
48,500
|
$9,196,570.00
|
1.09 %
|
|
KLA-Tencor Corporation
|
482480100
|
Common Stocks
|
172,700
|
$9,108,198.00
|
1.08 %
|
|
Google Inc., Class A
|
38259P508
|
Common Stocks
|
11,400
|
$9,051,942.00
|
1.07 %
|
|
Whole Foods Market, Inc.
|
966837106
|
Common Stocks
|
100,400
|
$8,709,700.00
|
1.03 %
|
|
Rockwell Automation, Inc.
|
773903109
|
Common Stocks
|
98,900
|
$8,540,015.00
|
1.01 %
|
|
QUALCOMM Incorporated
|
747525103
|
Common Stocks
|
120,700
|
$8,080,865.00
|
0.96 %
|
|
Illinois Tool Works Inc. 0.13 %, 4/3/2013
|
4523ELR31 04/03/2013
|
Short-Term Securities
|
8,000,000
|
$7,999,913.00
|
0.95 %
|
|
3M Company
|
88579Y101
|
Common Stocks
|
72,800
|
$7,739,368.00
|
0.92 %
|
|
Illinois Tool Works Inc. 0.11 %, 4/4/2013
|
4523ELR49 04/04/2013
|
Short-Term Securities
|
7,750,000
|
$7,749,905.00
|
0.92 %
|
|
General Dynamics Corporation
|
369550108
|
Common Stocks
|
108,400
|
$7,643,284.00
|
0.91 %
|
|
Gap, Inc. (The)
|
364760108
|
Common Stocks
|
215,200
|
$7,618,080.00
|
0.91 %
|
|
Parker Hannifin Corporation
|
701094104
|
Common Stocks
|
78,700
|
$7,207,346.00
|
0.86 %
|
|
Regency Energy Partners LP
|
75885Y107
|
Common Stocks
|
242,500
|
$6,081,900.00
|
0.72 %
|
|
NYC GO Bonds, Fiscal 2006 Ser E (GTD by Bank of America,N.A.) 0.13 %, 4/7/2013
|
64966FHP2 08/01/2034
|
Short-Term Securities
|
5,000,000
|
$5,000,000.00
|
0.59 %
|
|
Bank of Nova Scotia 0.12 %, 4/2/2013
|
06416JR21 04/02/2013
|
Short-Term Securities
|
5,000,000
|
$4,999,967.00
|
0.59 %
|
|
Abbott Laboratories 0.13 %, 4/29/2013
|
00282CRV6 04/29/2013
|
Short-Term Securities
|
5,000,000
|
$4,999,476.00
|
0.59 %
|
|
Toyota Motor Credit Corporation 0.13 %, 6/28/2013
|
892332MN4
|
Short-Term Securities
|
4,023,000
|
$4,023,000.00
|
0.48 %
|
|
Bank of America Corporation 1.10 %, 3/22/2016
|
06051GEV7
|
Corporate Debt Securities
|
4,000,000
|
$3,984,820.00
|
0.47 %
|
|
Applied Materials, Inc.
|
038222105
|
Common Stocks
|
283,000
|
$3,814,840.00
|
0.45 %
|
|
MS Business Fin Corp, Gulf Opp Zone Indl Dev Var Rev Bonds (Chevron U.S.A. Inc. Proj), Ser E (GTD byChevron Corporation) 0.14 %, 4/1/2013
|
60528ACH5 11/01/2035
|
Short-Term Securities
|
3,812,000
|
$3,812,000.00
|
0.45 %
|
|
CVS Caremark Corporation 0.23 %, 4/1/2013
|
12665JR19 04/01/2013
|
Short-Term Securities
|
3,417,000
|
$3,416,979.00
|
0.41 %
|
|
United States Treasury Notes 4.25 %, 8/15/2015
|
912828EE6
|
United States Government Obligations
|
3,000,000
|
$3,280,314.00
|
0.39 %
|
|
Limited Brands, Inc. 6.63 %, 4/1/2021
|
532716AT4
|
Corporate Debt Securities
|
2,915,000
|
$3,293,950.00
|
0.38 %
|
|
Check Point Software Technologies Ltd.
|
M22465104
|
Common Stocks
|
66,300
|
$3,115,437.00
|
0.37 %
|
|
Honeywell International Inc. 0.15 %, 5/30/2013
|
43851TSW7 05/30/2013
|
Short-Term Securities
|
3,000,000
|
$2,999,225.00
|
0.36 %
|
|
John Deere Capital Corporation 0.11 %, 4/26/2013
|
24422LRS4 04/26/2013
|
Short-Term Securities
|
3,000,000
|
$2,999,762.00
|
0.36 %
|
|
Brown-Forman Corporation 1.00 %, 1/15/2018
|
115637AN0
|
Corporate Debt Securities
|
3,000,000
|
$2,972,862.00
|
0.35 %
|
|
General Electric Capital Corporation 0.00 %, 4/2/2018
|
36962G6X7
|
Corporate Debt Securities
|
3,000,000
|
$2,997,078.00
|
0.35 %
|
|
Metropolitan Life Global Funding I 2.50 %, 9/29/2015
|
59217GAC3
|
Corporate Debt Securities
|
2,500,000
|
$2,598,290.00
|
0.32 %
|
|
PepsiCo, Inc. 0.70 %, 8/13/2015
|
713448CA4
|
Corporate Debt Securities
|
2,500,000
|
$2,503,740.00
|
0.30 %
|
|
Campbell Soup Company 2.50 %, 8/2/2022
|
134429AY5
|
Corporate Debt Securities
|
2,400,000
|
$2,285,926.00
|
0.27 %
|
|
St. Jude Medical, Inc. 0.25 %, 4/8/2013
|
8522W2R80 04/08/2013
|
Short-Term Securities
|
2,300,000
|
$2,299,872.00
|
0.27 %
|
|
JPMorgan Chase & Co. 3.45 %, 3/1/2016
|
46625HHX1
|
Corporate Debt Securities
|
2,000,000
|
$2,126,510.00
|
0.25 %
|
|
International Business Machines Corporation 1.25 %, 5/12/2014
|
459200GW5
|
Corporate Debt Securities
|
2,000,000
|
$2,021,096.00
|
0.25 %
|
|
Quest Diagnostics Incorporated 3.20 %, 4/1/2016
|
74834LAR1
|
Corporate Debt Securities
|
2,000,000
|
$2,100,936.00
|
0.25 %
|
|
Toyota Motor Credit Corporation 2.05 %, 1/12/2017
|
89233P5S1
|
Corporate Debt Securities
|
2,000,000
|
$2,069,678.00
|
0.25 %
|
|
Amgen Inc. 2.13 %, 5/15/2017
|
031162BQ2
|
Corporate Debt Securities
|
2,000,000
|
$2,066,326.00
|
0.25 %
|
|
Amazon.com, Inc. 0.65 %, 11/27/2015
|
023135AK2
|
Corporate Debt Securities
|
2,000,000
|
$1,997,586.00
|
0.24 %
|
|
National Australia Bank Limited 0.90 %, 1/20/2016
|
63254AAF5
|
Corporate Debt Securities
|
2,000,000
|
$2,004,356.00
|
0.24 %
|
|
News American Incorporated 3.00 %, 9/15/2022
|
652482CG3
|
Corporate Debt Securities
|
2,000,000
|
$1,978,852.00
|
0.24 %
|
|
Transocean Inc. 2.50 %, 10/15/2017
|
893830BD0
|
Corporate Debt Securities
|
2,000,000
|
$2,026,174.00
|
0.24 %
|
|
LVMH Moet Hennessy - Louis Vuitton 1.63 %, 6/29/2017
|
502441AA6
|
Corporate Debt Securities
|
2,000,000
|
$2,023,812.00
|
0.24 %
|
|
LA Pub Fac Auth, Rev Bonds (Air Products and Chemicals Proj), Ser 2008A (GTD by Air Products and Chemicals, Inc.) 0.14 %, 4/1/2013
|
546398YU6 08/01/2043
|
Short-Term Securities
|
2,000,000
|
$2,000,000.00
|
0.24 %
|
|
JPMorgan Chase & Co. 1.10 %, 10/15/2015
|
46623EJR1
|
Corporate Debt Securities
|
2,000,000
|
$2,002,840.00
|
0.24 %
|
|
Heineken N.V. 1.40 %, 10/1/2017
|
423012AB9
|
Corporate Debt Securities
|
2,000,000
|
$1,991,770.00
|
0.23 %
|
|
Capital One Financial Corporation 2.13 %, 7/15/2014
|
14040HAV7
|
Corporate Debt Securities
|
1,750,000
|
$1,777,372.00
|
0.21 %
|
|
Ford Motor Company, Convertible 4.25 %, 11/15/2016
|
345370CN8
|
Corporate Debt Securities
|
1,000,000
|
$1,602,500.00
|
0.19 %
|
|
Goldman Sachs Group, Inc., (The) 1.60 %, 11/23/2015
|
38141EB32
|
Corporate Debt Securities
|
1,500,000
|
$1,513,736.00
|
0.18 %
|
|
Capital One Financial Corporation 1.00 %, 11/6/2015
|
14040HBA2
|
Corporate Debt Securities
|
1,500,000
|
$1,493,277.00
|
0.18 %
|
|
PNC Bank, N.A. 0.80 %, 1/28/2016
|
69349LAH1
|
Corporate Debt Securities
|
1,500,000
|
$1,499,955.00
|
0.18 %
|
|
General Dynamics Corporation 1.00 %, 11/15/2017
|
369550AV0
|
Corporate Debt Securities
|
1,500,000
|
$1,490,243.00
|
0.18 %
|
|
WellPoint, Inc. 1.88 %, 1/15/2018
|
94973VBC0
|
Corporate Debt Securities
|
1,500,000
|
$1,519,905.00
|
0.18 %
|
|
Wal-Mart Stores, Inc. 0.75 %, 10/25/2013
|
931142CW1
|
Corporate Debt Securities
|
1,500,000
|
$1,503,647.00
|
0.18 %
|
|
Stryker Corporation 2.00 %, 9/30/2016
|
863667AC5
|
Corporate Debt Securities
|
1,500,000
|
$1,556,538.00
|
0.18 %
|
|
Citigroup Inc. 1.25 %, 1/15/2016
|
172967GG0
|
Corporate Debt Securities
|
1,500,000
|
$1,498,316.00
|
0.18 %
|
|
American Tower Corporation 4.70 %, 3/15/2022
|
03027XAA8
|
Corporate Debt Securities
|
1,400,000
|
$1,522,500.00
|
0.18 %
|
|
MA Hlth and Edu Fac Auth, Var Rate Rev Bonds, Dana-Farber Cancer Institute Issue, Ser 2008L-1 (GTD by JPMorgan Chase Bank, N.A.) 0.10 %, 4/7/2013
|
57586CY90 12/01/2046
|
Short-Term Securities
|
1,400,000
|
$1,400,000.00
|
0.17 %
|
|
State of Israel 4.00 %, 6/30/2022
|
46513AGA2
|
Other Government Securities
|
1,250,000
|
$1,350,944.00
|
0.16 %
|
|
Bank of New York Mellon Corporation (The) 1.50 %, 1/31/2014
|
06406HBT5
|
Corporate Debt Securities
|
1,250,000
|
$1,261,641.00
|
0.15 %
|
|
America Movil, S.A.B. de C.V. 3.63 %, 3/30/2015
|
02364WAU9
|
Corporate Debt Securities
|
1,200,000
|
$1,258,046.00
|
0.15 %
|
|
Airgas, Inc. 1.65 %, 2/15/2018
|
009363AN2
|
Corporate Debt Securities
|
1,250,000
|
$1,252,578.00
|
0.15 %
|
|
International Business Machines Corporation 0.27 %, 2/4/2015
|
459200HJ3
|
Corporate Debt Securities
|
1,250,000
|
$1,250,009.00
|
0.15 %
|
|
Estee Lauder Companies, Inc. (The) 2.35 %, 8/15/2022
|
29736RAE0
|
Corporate Debt Securities
|
1,200,000
|
$1,179,113.00
|
0.14 %
|
|
Southwestern Energy Company 4.10 %, 3/15/2022
|
845467AH2
|
Corporate Debt Securities
|
1,050,000
|
$1,110,447.00
|
0.14 %
|
|
Metropolitan Life Global Funding I 2.00 %, 1/10/2014
|
59217GAE9
|
Corporate Debt Securities
|
1,200,000
|
$1,213,328.00
|
0.14 %
|
|
Anheuser-Busch InBev Worldwide Inc. 5.38 %, 11/15/2014
|
03523TBG2
|
Corporate Debt Securities
|
1,000,000
|
$1,074,408.00
|
0.13 %
|
|
DIRECTV Holdings LLC and DIRECTV Financing Co., Inc. 3.50 %, 3/1/2016
|
25459HAY1
|
Corporate Debt Securities
|
1,000,000
|
$1,062,020.00
|
0.13 %
|
|
BorgWarner Inc. 4.63 %, 9/15/2020
|
099724AG1
|
Corporate Debt Securities
|
1,000,000
|
$1,100,739.00
|
0.13 %
|
|
CBS Corporation 4.30 %, 2/15/2021
|
124857AE3
|
Corporate Debt Securities
|
1,000,000
|
$1,090,463.00
|
0.13 %
|
|
Crown Castle International Corp. 5.25 %, 1/15/2023
|
228227BD5
|
Corporate Debt Securities
|
1,046,000
|
$1,064,305.00
|
0.13 %
|
|
Macy's Retail Holdings, Inc. 3.88 %, 1/15/2022
|
55616XAF4
|
Corporate Debt Securities
|
1,000,000
|
$1,055,406.00
|
0.13 %
|
|
Commonwealth Bank of Australia New York 1.95 %, 3/16/2015
|
20271RAA8
|
Corporate Debt Securities
|
1,050,000
|
$1,074,873.00
|
0.13 %
|
|
Monsanto Company 2.75 %, 4/15/2016
|
611662BM8
|
Corporate Debt Securities
|
1,000,000
|
$1,058,909.00
|
0.13 %
|
|
Praxair, Inc. 3.00 %, 9/1/2021
|
74005PAZ7
|
Corporate Debt Securities
|
1,000,000
|
$1,043,112.00
|
0.13 %
|
|
Walt Disney Company (The) 0.45 %, 12/1/2015
|
25468PCU8
|
Corporate Debt Securities
|
1,000,000
|
$999,049.00
|
0.12 %
|
|
Bank of New York Mellon Corporation (The) 0.70 %, 10/23/2015
|
06406HCD9
|
Corporate Debt Securities
|
1,000,000
|
$1,001,323.00
|
0.12 %
|
|
Schlumberger Investment S.A. (GTD by SchlumbergerLtd.) 1.25 %, 8/1/2017
|
806854AE5
|
Corporate Debt Securities
|
1,000,000
|
$998,107.00
|
0.12 %
|
|
Costco Wholesale Corporation 0.65 %, 12/7/2015
|
22160KAD7
|
Corporate Debt Securities
|
1,000,000
|
$1,001,431.00
|
0.12 %
|
|
Wells Fargo & Company 1.50 %, 1/16/2018
|
94974BFG0
|
Corporate Debt Securities
|
1,000,000
|
$998,380.00
|
0.12 %
|
|
RPM International Inc. 3.45 %, 11/15/2022
|
749685AS2
|
Corporate Debt Securities
|
1,000,000
|
$991,877.00
|
0.12 %
|
|
General Electric Company 0.85 %, 10/9/2015
|
369604BE2
|
Corporate Debt Securities
|
1,000,000
|
$1,003,336.00
|
0.12 %
|
|
Canadian Imperial Bank of Commerce 0.90 %, 10/1/2015
|
136069ET4
|
Corporate Debt Securities
|
1,000,000
|
$1,003,304.00
|
0.12 %
|
|
Anheuser-Busch InBev Worldwide Inc. 1.38 %, 7/15/2017
|
03523TBN7
|
Corporate Debt Securities
|
1,000,000
|
$1,008,745.00
|
0.12 %
|
|
Ryder System, Inc. 2.35 %, 2/26/2019
|
78355HJU4
|
Corporate Debt Securities
|
1,000,000
|
$1,010,053.00
|
0.12 %
|
|
State of Qatar 3.13 %, 1/20/2017
|
74727PAM3
|
Other Government Securities
|
1,000,000
|
$1,057,500.00
|
0.12 %
|
|
Penske Truck Leasing Co., LP and PTL Finance Corp. 2.50 %, 7/11/2014
|
709599AG9
|
Corporate Debt Securities
|
1,000,000
|
$1,015,770.00
|
0.12 %
|
|
Texas Instruments Incorporated 0.47 %, 5/15/2013
|
882508AS3
|
Corporate Debt Securities
|
1,000,000
|
$1,000,458.00
|
0.12 %
|
|
DENTSPLY International Inc. 2.75 %, 8/15/2016
|
249030AB3
|
Corporate Debt Securities
|
1,000,000
|
$1,038,504.00
|
0.12 %
|
|
ConAgra Foods, Inc. 1.30 %, 1/25/2016
|
205887BP6
|
Corporate Debt Securities
|
1,000,000
|
$1,007,986.00
|
0.12 %
|
|
Praxair, Inc. 4.38 %, 3/31/2014
|
74005PAS3
|
Corporate Debt Securities
|
1,000,000
|
$1,037,987.00
|
0.12 %
|
|
JPMorgan Chase & Co. 4.65 %, 6/1/2014
|
46625HHN3
|
Corporate Debt Securities
|
1,000,000
|
$1,045,041.00
|
0.12 %
|
|
U.S. Bancorp 4.20 %, 5/15/2014
|
91159HGR5
|
Corporate Debt Securities
|
1,000,000
|
$1,042,454.00
|
0.12 %
|
|
Illinois Tool Works Inc. 5.15 %, 4/1/2014
|
452308AH2
|
Corporate Debt Securities
|
1,000,000
|
$1,045,086.00
|
0.12 %
|
|
Fidelity National Financial, Inc. 6.60 %, 5/15/2017
|
31620RAC9
|
Corporate Debt Securities
|
900,000
|
$1,021,011.00
|
0.12 %
|
|
Caterpillar Financial Services Corporation 1.55 %, 12/20/2013
|
14912L4Q1
|
Corporate Debt Securities
|
1,000,000
|
$1,008,432.00
|
0.12 %
|
|
EOG Resources, Inc. 2.50 %, 2/1/2016
|
26875PAH4
|
Corporate Debt Securities
|
1,000,000
|
$1,045,971.00
|
0.12 %
|
|
Broadcom Corporation 2.70 %, 11/1/2018
|
111320AE7
|
Corporate Debt Securities
|
1,000,000
|
$1,062,594.00
|
0.12 %
|
|
Ford Motor Credit Company LLC 3.88 %, 1/15/2015
|
345397VW0
|
Corporate Debt Securities
|
1,000,000
|
$1,039,566.00
|
0.12 %
|
|
Caterpillar Inc. 1.38 %, 5/27/2014
|
149123BU4
|
Corporate Debt Securities
|
1,000,000
|
$1,011,220.00
|
0.12 %
|
|
Bank of Montreal 1.30 %, 10/31/2014
|
063679WH3
|
Corporate Debt Securities
|
1,000,000
|
$1,013,800.00
|
0.12 %
|
|
Unilever Capital Corporation 2.75 %, 2/10/2016
|
904764AL1
|
Corporate Debt Securities
|
1,000,000
|
$1,052,823.00
|
0.12 %
|
|
Target Corporation 1.13 %, 7/18/2014
|
87612EAW6
|
Corporate Debt Securities
|
1,000,000
|
$1,010,419.00
|
0.12 %
|
|
USAA Capital Corporation 1.05 %, 9/30/2014
|
90327QCV9
|
Corporate Debt Securities
|
1,000,000
|
$1,004,501.00
|
0.12 %
|
|
United States Treasury Notes 4.25 %, 8/15/2013
|
912828BH2
|
United States Government Obligations
|
900,000
|
$913,957.00
|
0.11 %
|
|
Discovery Communications, LLC 3.30 %, 5/15/2022
|
25470DAF6
|
Corporate Debt Securities
|
900,000
|
$917,771.00
|
0.11 %
|
|
Delphi Corporation 5.00 %, 2/15/2023
|
247126AH8
|
Corporate Debt Securities
|
849,000
|
$897,818.00
|
0.11 %
|
|
Beam Inc. 1.88 %, 5/15/2017
|
073730AD5
|
Corporate Debt Securities
|
800,000
|
$814,984.00
|
0.10 %
|
|
Limited Brands, Inc. 6.90 %, 7/15/2017
|
532716AM9
|
Corporate Debt Securities
|
750,000
|
$861,563.00
|
0.10 %
|
|
Discovery Communications, LLC 4.38 %, 6/15/2021
|
25470DAE9
|
Corporate Debt Securities
|
750,000
|
$827,312.00
|
0.10 %
|
|
JPMorgan Chase & Co. 3.15 %, 7/5/2016
|
46625HJA9
|
Corporate Debt Securities
|
750,000
|
$795,288.00
|
0.09 %
|
|
United States Treasury Notes 3.63 %, 5/15/2013
|
912828BA7
|
United States Government Obligations
|
750,000
|
$753,091.00
|
0.09 %
|
|
State of Qatar 4.00 %, 1/20/2015
|
74727PAJ0
|
Other Government Securities
|
750,000
|
$790,500.00
|
0.09 %
|
|
Eaton Corporation 0.61 %, 6/16/2014
|
278058DJ8
|
Corporate Debt Securities
|
750,000
|
$750,302.00
|
0.09 %
|
|
Burlington Northern Santa Fe, LLC 3.05 %, 3/15/2022
|
12189LAH4
|
Corporate Debt Securities
|
700,000
|
$716,159.00
|
0.09 %
|
|
Sherwin-Williams Company (The) 1.35 %, 12/15/2017
|
824348AP1
|
Corporate Debt Securities
|
750,000
|
$753,238.00
|
0.09 %
|
|
Mattel, Inc. 2.50 %, 11/1/2016
|
577081AV4
|
Corporate Debt Securities
|
750,000
|
$782,136.00
|
0.09 %
|
|
CBS Corporation 8.88 %, 5/15/2019
|
124857AC7
|
Corporate Debt Securities
|
500,000
|
$668,143.00
|
0.08 %
|
|
United States Treasury Bonds 7.50 %, 11/15/2016
|
912810DX3
|
United States Government Obligations
|
500,000
|
$625,625.00
|
0.07 %
|
|
JPMorgan Chase & Co. 7.90 %, 4/29/2049
|
46625HHA1
|
Corporate Debt Securities
|
500,000
|
$574,683.00
|
0.07 %
|
|
Barclays Bank plc 2.38 %, 1/13/2014
|
06739GBS7
|
Corporate Debt Securities
|
600,000
|
$608,033.00
|
0.07 %
|
|
Philip Morris International Inc. 4.50 %, 3/26/2020
|
718172AH2
|
Corporate Debt Securities
|
500,000
|
$575,918.00
|
0.07 %
|
|
Kellogg Company 4.45 %, 5/30/2016
|
487836BB3
|
Corporate Debt Securities
|
500,000
|
$550,192.00
|
0.07 %
|
|
CVS Caremark Corporation 3.25 %, 5/18/2015
|
126650BT6
|
Corporate Debt Securities
|
550,000
|
$579,098.00
|
0.07 %
|
|
Berkshire Hathaway Inc. 1.55 %, 2/9/2018
|
084670BH0
|
Corporate Debt Securities
|
500,000
|
$506,445.00
|
0.06 %
|
|
SABMiller Holdings Inc. 3.75 %, 1/15/2022
|
78573AAA8
|
Corporate Debt Securities
|
500,000
|
$535,536.00
|
0.06 %
|
|
Berkshire Hathaway Inc. 0.80 %, 2/11/2016
|
084670BG2
|
Corporate Debt Securities
|
500,000
|
$502,812.00
|
0.06 %
|
|
Rio Tinto Finance (USA) Limited 8.95 %, 5/1/2014
|
767201AF3
|
Corporate Debt Securities
|
500,000
|
$543,946.00
|
0.06 %
|
|
National Oilwell Varco, Inc. 1.35 %, 12/1/2017
|
637071AL5
|
Corporate Debt Securities
|
500,000
|
$502,368.00
|
0.06 %
|
|
DIRECTV Holdings LLC 2.40 %, 3/15/2017
|
25459HBE4
|
Corporate Debt Securities
|
500,000
|
$513,025.00
|
0.06 %
|
|
General Mills, Inc. 0.00 %, 1/29/2016
|
370334BQ6
|
Corporate Debt Securities
|
500,000
|
$500,427.00
|
0.06 %
|
|
TransCanada PipeLines Ltd 0.75 %, 1/15/2016
|
89352HAH2
|
Other Government Securities
|
500,000
|
$499,436.00
|
0.06 %
|
|
Church & Dwight Co., Inc. 2.88 %, 10/1/2022
|
171340AH5
|
Corporate Debt Securities
|
500,000
|
$500,206.00
|
0.06 %
|
|
Dollar General Corporation 4.13 %, 7/15/2017
|
256677AA3
|
Corporate Debt Securities
|
450,000
|
$483,188.00
|
0.06 %
|
|
United Technologies Corporation 1.20 %, 6/1/2015
|
913017BY4
|
Corporate Debt Securities
|
500,000
|
$507,015.00
|
0.06 %
|
|
Colgate-Palmolive Company 1.25 %, 5/1/2014
|
19416QDT4
|
Corporate Debt Securities
|
500,000
|
$504,912.00
|
0.06 %
|
|
PepsiCo, Inc. 3.75 %, 3/1/2014
|
713448BK3
|
Corporate Debt Securities
|
500,000
|
$515,050.00
|
0.06 %
|
|
Cargill, Inc. 4.31 %, 5/14/2021
|
141781AY0
|
Corporate Debt Securities
|
424,000
|
$467,813.00
|
0.06 %
|
|
Wells Fargo & Company 3.68 %, 6/15/2016
|
949746QU8
|
Corporate Debt Securities
|
500,000
|
$540,706.00
|
0.06 %
|
|
Schlumberger S.A. (GTD by Schlumberger Ltd.) 2.65 %, 1/15/2016
|
806859AA2
|
Corporate Debt Securities
|
500,000
|
$521,642.00
|
0.06 %
|
|
Prudential Financial, Inc. 4.75 %, 9/17/2015
|
74432QBJ3
|
Corporate Debt Securities
|
500,000
|
$544,731.00
|
0.06 %
|
|
Viacom Inc. 4.38 %, 9/15/2014
|
92553PAE2
|
Corporate Debt Securities
|
500,000
|
$525,746.00
|
0.06 %
|
|
Deutsche Bank AG 3.45 %, 3/30/2015
|
2515A0U76
|
Corporate Debt Securities
|
500,000
|
$525,100.00
|
0.06 %
|
|
International Bank for Reconstruction and Development 2.38 %, 5/26/2015
|
459058AR4
|
Other Government Securities
|
450,000
|
$469,587.00
|
0.06 %
|
|
Microsoft Corporation 2.95 %, 6/1/2014
|
594918AB0
|
Corporate Debt Securities
|
500,000
|
$515,369.00
|
0.06 %
|
|
American Tower Corporation 4.63 %, 4/1/2015
|
029912BB7
|
Corporate Debt Securities
|
500,000
|
$533,179.00
|
0.06 %
|
|
Freeport-McMoRan Copper & Gold Inc. 2.38 %, 3/15/2018
|
35671DBE4
|
Corporate Debt Securities
|
450,000
|
$452,090.00
|
0.05 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 6.00 %, 9/1/2032
|
31391LXJ9
|
United States Government Agency Obligations
|
254,123
|
$285,838.00
|
0.04 %
|
|
Wal-Mart Stores, Inc. 2.88 %, 4/1/2015
|
931142CR2
|
Corporate Debt Securities
|
250,000
|
$261,942.00
|
0.03 %
|
|
Home Depot, Inc. (The) 4.40 %, 4/1/2021
|
437076AW2
|
Corporate Debt Securities
|
250,000
|
$288,731.00
|
0.03 %
|
|
Virgin Media Finance plc 4.88 %, 2/15/2022
|
92769VAD1
|
Corporate Debt Securities
|
284,000
|
$287,550.00
|
0.03 %
|
|
American Express Credit Corporation 5.13 %, 8/25/2014
|
0258M0CZ0
|
Corporate Debt Securities
|
200,000
|
$212,472.00
|
0.03 %
|
|
Cenovus Energy Inc. 4.50 %, 9/15/2014
|
15135UAB5
|
Corporate Debt Securities
|
250,000
|
$263,248.00
|
0.03 %
|
|
ConocoPhillips (GTD by ConocoPhillips Company) 4.75 %, 2/1/2014
|
20825CAS3
|
Corporate Debt Securities
|
254,000
|
$263,131.00
|
0.03 %
|
|
YUM! Brands, Inc. 4.25 %, 9/15/2015
|
988498AE1
|
Corporate Debt Securities
|
250,000
|
$268,757.00
|
0.03 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 7.00 %, 11/1/2031
|
31388KT77
|
United States Government Agency Obligations
|
75,713
|
$90,879.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 5.50 %, 6/1/2033
|
31371K6C0
|
United States Government Agency Obligations
|
62,283
|
$68,577.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 6.00 %, 9/1/2017
|
31390QU60
|
United States Government Agency Obligations
|
91,091
|
$97,203.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 6.50 %, 2/1/2032
|
31389K5S6
|
United States Government Agency Obligations
|
62,003
|
$70,368.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 7.00 %, 3/1/2032
|
31389UHE2
|
United States Government Agency Obligations
|
45,756
|
$55,009.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 5.00 %, 1/1/2018
|
31400DEE8
|
United States Government Agency Obligations
|
63,388
|
$68,565.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 7.00 %, 2/1/2032
|
31389GSV3
|
United States Government Agency Obligations
|
64,765
|
$77,829.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 7.00 %, 7/1/2032
|
31390REE9
|
United States Government Agency Obligations
|
58,203
|
$66,236.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 5.50 %, 5/1/2033
|
31400TW37
|
United States Government Agency Obligations
|
66,680
|
$73,418.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 6.50 %, 10/1/2028
|
31371HAR9
|
United States Government Agency Obligations
|
76,253
|
$87,653.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 6.50 %, 9/1/2032
|
31390TUC1
|
United States Government Agency Obligations
|
59,333
|
$67,145.00
|
0.01 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 6.50 %, 2/1/2029
|
31371HHK7
|
United States Government Agency Obligations
|
11,612
|
$13,348.00
|
0.00 %
|
|
Banco Hipotecario Nacional 7.92 %, 7/25/2009
|
05544XAC3
|
Corporate Debt Securities
|
6,500
|
$0.00
|
0.00 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 5.50 %, 5/1/2033
|
31400Y3P9
|
United States Government Agency Obligations
|
17,876
|
$19,683.00
|
0.00 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 5.50 %, 5/1/2033
|
31400YXT8
|
United States Government Agency Obligations
|
19,363
|
$21,320.00
|
0.00 %
|
|
Banco Hipotecario Nacional 8.00 %, 3/31/2011
|
05544NAC5
|
Corporate Debt Securities
|
1,250
|
$0.00
|
0.00 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 5.50 %, 4/1/2018
|
31400VRJ3
|
United States Government Agency Obligations
|
34,660
|
$37,132.00
|
0.00 %
|
|
Federal National Mortgage Association Fixed Rate Pass-Through Certificates 7.00 %, 2/1/2032
|
31389K5Q0
|
United States Government Agency Obligations
|
34,097
|
$38,732.00
|
0.00 %
|