0001348259-13-000060.txt : 20130425 0001348259-13-000060.hdr.sgml : 20130425 20130425162049 ACCESSION NUMBER: 0001348259-13-000060 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20130425 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20130425 DATE AS OF CHANGE: 20130425 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VALIDUS HOLDINGS LTD CENTRAL INDEX KEY: 0001348259 STANDARD INDUSTRIAL CLASSIFICATION: FIRE, MARINE & CASUALTY INSURANCE [6331] IRS NUMBER: 000000000 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-33606 FILM NUMBER: 13783143 BUSINESS ADDRESS: STREET 1: 29 RICHMOND ROAD CITY: PEMBROKE STATE: D0 ZIP: HM08 BUSINESS PHONE: 441-278-9000 MAIL ADDRESS: STREET 1: 29 RICHMOND ROAD CITY: PEMBROKE STATE: D0 ZIP: HM08 8-K 1 a20130331scheduledcoverpage.htm 8-K 2013.03.31 Schedule D Cover Page
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
___________
FORM 8-K
___________
CURRENT REPORT

Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934

Date of Report (Date of earliest event reported): April 25, 2013

Commission file number 001-33606
___________

 
VALIDUS HOLDINGS, LTD.
(Exact name of registrant as specified in its charter)



BERMUDA
98-0501001
(State or other jurisdiction of
(I.R.S. Employer
incorporation or organization)
Identification No.)
 

29 Richmond Road, Pembroke, Bermuda HM 08
(Address of principal executive offices)

Registrant's telephone number, including area code: (441) 278-9000
Not Applicable
(Former name or former address, if changed since last report)

 
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:


o    Written communications pursuant to Rule 425 under the securities Act (17 CFR 230.425)


o    Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)


o    Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))


o    Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

 
 
 
 
 
 
 
 
 
 
 
 
 
 




Item 2.02
 
Results of Operations and Financial Condition.
     
On April 25, 2013, Validus Holdings, Ltd. released information regarding its U.S. GAAP basis investment portfolio in a Schedule D - Part 1 format. A copy of this release is attached to this Current Report on Form 8-K as Exhibit 99.1 and is incorporated herein by reference.

The information in this Current Report on Form 8-K, including the information set forth in Exhibit 99.1, shall not be deemed “filed” for purposes of Section 18 of the Securities Exchange Act of 1934, as amended (the “Exchange Act”), or incorporated by reference in any filing under the Securities Act of 1933, as amended, or the Exchange Act, except as shall be expressly set forth by specific reference in such a filing.

Item 9.01.
 
Financial Statements and Exhibits.

(d)
 
Exhibits. The following exhibits are filed herewith:

Exhibit No.
 
Description
 
 

 
 
 
 
99.1

 
 
Release regarding U.S. GAAP investment portfolio in a Schedule D - Part 1 format dated April 25, 2013







































SIGNATURES

     Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

Date: April 25, 2013

 
VALIDUS HOLDINGS, LTD.
      (Registrant)
  
 
 
By:  
/s/ Jeffrey D. Sangster
 
 
 
 
 
 
Name: 
Jeffrey D. Sangster
 
 
Title: 
Executive Vice President & Chief Financial Officer 
 


EX-99.1 2 a20130331exhibit991schedul.htm EXHIBIT 99.1 SCHEDULE D 2013.03.31 Exhibit 99.1 Schedule D
Validus Holdings, Ltd. March 31, 2013 GAAP short-term investments portfolio in Schedule D format
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
1
2
3
4
5
6
7
 CHANGE IN BOOK/ADJUSTED CARRYING VALUE
12
13
INTEREST
 
 
 
 
 
 
 
8
9
10
11
 
 
14
15
16
17
18
19
20
 
 
 
DATE
 
 
 GAAP
 
 CURRENT YEAR
 
 TOTAL FX CHG
PAR
ACTUAL
 ACCRUED
 NON-ADMITTED ACCRUED
 INTEREST
 EFFECTIVE RATE
 HOW
 GROSS REC'D
PAID FOR
DESCRIPTION
*
CUSIP
ACQUIRED
NAME OF VENDOR
 MATURITY DATE
 BOOK VALUE
 UGL
 AMORTIZATION
 IMPAIRMENTS
 IN B/A. C.V.
VALUE
COST
 INTEREST
 INTEREST
 RATE
 OF INTEREST
 PAID
 DURING YEAR
ACCRUED INT
UNITED STATES TREASURY TBILL CASH
 
912796AN9
2/22/2013
NOMURA SECURITIES INTL. INC.
7/5/2013
14,995,407.77


1,836.10



15,000,000.00

14,993,571.67



0.116

0.118

MAT


UNITED STATES TREASURY GOVT BND
 
912828QE3
7/11/2012
CREDIT SUISSE FIRST BOSTON COR
4/30/2013
400,134.48

5.52

(723.40
)


400,000.00

401,345.09

1,049.72


0.625

0.205

AO
5,058.70


JOHANNESBURG CITY SENIOR LOCAL BND
 
S1782RAC6
11/30/2012
DIRECT
4/26/2013
394,968.42

(74.66
)
(3,204.94
)

(12,594.55
)
3,500,000.00

399,320.61

15,392.93


9.7

6.276

AO


GLAXOSK CAP INC CORP BND
 
377372AC1
6/22/2012
KEY BANK
5/15/2013
889,760.91

(70.32
)
(9,738.22
)


885,000.00

919,568.10

16,215.17


4.85

0.415

MN


RESIDENTIAL REINSURANCE 2010 L CORP BND
 
76114WAB8
6/28/2012
RBC DOMINION SECURITIES INC.
6/6/2013
6,004,246.25

39,313.75

(5,727.42
)


6,000,000.00

6,021,000.00

28,600.00


6.6

6.293

MJSD
99,039.34


LAND AND AGRICULTURAL DEVELOPM CASH CP
 
BRSH21RK5
1/3/2013
DIRECT
7/4/2013
1,036,051.72


13,371.62


(68,767.46
)
9,000,000.00

1,022,680.10




5.5

MAT


RES REINSURANCE CORP BND 144A
 
76114WAF9
6/26/2012
RBC DOMINION SECURITIES INC.
6/6/2013
1,000,000.00

6,720.00




1,000,000.00

1,000,000.00

4,513.89


6.25

6.25

MJSD
15,631.55


SPAREBNK 1 BOLIG LOCAL BND 144A
 
84650WAA4
11/14/2012
Various
10/25/2013
1,306,077.55

109.01

(2,661.05
)


1,300,000.00

1,310,010.00

7,041.67


1.25

0.422

AO


MTN HOLDINGS CD CASH
 
BRSGVK2F1
12/5/2012
DIRECT
9/4/2013
1,407,056.90


7,620.51


(59,483.34
)
35,785,000.00

1,397,472.90

22,228.45


5.297

7.774

MAT


BIDVESTCO CP CASH
 
BRSHBVLS8
2/4/2013
DIRECT
5/8/2013
669,687.81


5,170.68


(19,121.00
)
6,000,000.00

664,517.13



5.054

5.191

MAT


PICK N PAY STORES LTD CORP BND MTN
 
BRSHG9QN8
2/19/2013
DIRECT
5/23/2013
1,014,644.71




(33,659.47
)
9,000,000.00

1,014,644.71

1,012.22


1

1

MAT


BVT CPM 200613 CASH CD
 
BRSHJZDC5
2/19/2013
DIRECT
6/20/2013
668,689.83


3,803.94


(22,182.88
)
6,000,000.00

664,885.89




5.209

MAT


ABSA BANK LTD LOACL BND
 
BRSHKELX5
2/27/2013
DIRECT
1/7/2014
340,874.99

(2,002.00
)
(273.72
)

(11,636.89
)
3,000,000.00

341,148.71

4,062.09


5.519

4.63

JAJO


VODACOM GROUP LTD CORP BND
 
BRSHKEQB8
2/27/2013
DIRECT
5/28/2013
1,354,210.75

(660.95
)


(46,230.43
)
12,000,000.00

1,354,210.75

5,912.57


5.183

5.183

MAT


MACQUARIE SECURITIES SOUTH AFR CASH CD
 
BRSGDH6L1
3/4/2013
DIRECT
6/11/2013









5.085

5.227

MAT
17,643.47


MERCEDES BENZ SOUTH AFRICA PTY CORP BND
 
S50381128
3/27/2013
DIRECT
3/27/2014
753,607.90

9.61



9,380.62

7,000,000.00

753,607.90

471.88


5.575

5.614

MJSD


MERCEDES BENZ SOUTH AFRICA PTY SENIOR
 
S50381BW1
11/30/2012
DIRECT
5/26/2013
395,707.47

(2.37
)
(140.29
)

(14,029.42
)
3,500,000.00

395,859.74




(0.195
)
FMAN
840.71


TOYOTA FN SRV ZA UNSECURED LOCAL BND MTN
 
S87136115
2/7/2013
DIRECT
11/14/2013


1,123.33







5.751

5.903

FMAN


WESTERN AST INS CSH RES
 
52470G205
Multi
 
 
25,087,071.37





25,087,071.37

25,087,071.37



 
 
 
482.49

 
DREYFUS UNIVERSAL LIQUIDITY PL
 
B0A01CHL6
Multi
 
 
1,489,710.55





1,489,710.55

1,489,710.55



 
 
 
64.88

 
CITI-INSTITUTION LIQ FUND USD
 
B0A0ATCJ9
Multi
 
 
33,357,639.18





33,357,639.18

33,357,639.18



 
 
 
4,148.81

 
ML INST LIQ FUND - AGENCY
 
BRS263RF1
Multi
 
 
3,344,973.58




295.32

2,203,081.37

3,344,973.58



 
 
 

 



JPMORGAN LIQUIDITY FUNDS - US
 
BRS6A96T7
Multi
 
 
12,806,388.23





12,806,388.23

12,806,388.23



 
 
 

 
GOLDMAN SACHS USD LIQ RESERVE
 
BRSCL4F97
Multi
 
 
37,082,467.51





37,082,467.51

37,082,467.51



 
 
 
3.34

 
AFRICAN BANK
 
BRSGW8WQ0
Multi
 
 
900,461.28

(124.06
)
94.54


(28,713.43
)
8,000,000.00

900,333.13



 
 
 
13,437.76

 
CHINA CONSTRN BK
 
BRSGW8XS5
Multi
 
 
1,125,605.62

(141.10
)
107.52


(35,892.72
)
10,000,000.00

1,125,459.87



 
 
 
15,696.19

 
ABSA BANK LTD
 
BRSGW9KP3
Multi
 
 
112,588.17

(14.02
)
10.69


(3,590.15
)
1,000,000.00

112,573.68



 
 
 
1,560.81

 
ABSA BANK LTD
 
BRSGW9KS7
Multi
 
 
337,764.50

(42.06
)
32.05


(10,770.45
)
3,000,000.00

337,721.05



 
 
 
4,682.44

 
ABSA BANK LTD
 
BRSGW9L72
Multi
 
 
1,801,256.39

(91.72
)
70.47


(57,437.51
)
16,000,000.00

1,801,161.65



 
 
 
24,746.06

 
FIRSTRAND LTD
 
BRSGW9PH6
Multi
 
 
450,362.54

227.78

(144.82
)

(14,360.92
)
4,000,000.00

450,597.82

7,970.38


 
 
 
6,271.64

 
FIRSTRAND LTD
 
BRSGW9QE2
Multi
 
 
337,770.26

367.45

(5.15
)

(10,770.64
)
3,000,000.00

337,765.81

555.23


 
 
 
4,846.01

 
FIRSTRAND LTD
 
BRSGW9S34
Multi
 
 
1,913,834.07

(97.93
)
74.92


(61,027.32
)
17,000,000.00

1,913,732.91



 
 
 
26,413.27

 
INVESTEC BANK
 
BRSGW9SX8
Multi
 
 
337,769.86

(14.39
)
(4.72
)

(10,770.62
)
3,000,000.00

337,764.59

560.73


 
 
 
4,894.04

 
INVESTEC BANK
 
BRSGW9T41
Multi
 
 
462,579.94

1,233.49

(1,086.31
)

(24,665.55
)
4,000,000.00

463,892.64

5,162.69


 
 
 
8,017.43

 
NEDBANK LTD
 
BRSGW9TH2
Multi
 
 
2,251,569.49

(115.22
)
88.37


(71,796.85
)
20,000,000.00

2,251,450.48



 
 
 
31,074.43

 
STANDARD BK OF SOUTH AFRICA LT
 
BRSGW9U64
Multi
 
 
450,342.21

(12.87
)
9.81


(14,360.27
)
4,000,000.00

450,328.92



 
 
 
6,203.49

 
STANDARD BK OF SOUTH AFRICA LT
 
BRSGW9UE7
Multi
 
 
1,576,099.34

(80.25
)
63.09


(50,257.82
)
14,000,000.00

1,576,016.44



 
 
 
21,652.80

 
NEDBANK LTD
 
BRSGWAVF0
Multi
 
 
112,600.80

108.12

(73.60
)

(3,590.55
)
1,000,000.00

112,712.48

2,114.66


 
 
 
1,596.29

 
NAMPAK LTD
 
BRSGYQDQ9
Multi
 
 
342,244.65

(5,413.18
)
4,702.81


(18,944.89
)
3,000,000.00

336,514.27



 
 
 

 
ABSA BANK LTD
 
BRSH7SXF5
Multi
 
 
114,549.86

(178.56
)
(398.29
)

(5,224.66
)
1,000,000.00

114,948.15



 
 
 
1,547.47

 
STANDARD BK OF SOUTH AFRICA LT
 
BRSH7SXP3
Multi
 
 
114,284.07

(9.58
)
(38.59
)

(5,212.54
)
1,000,000.00

114,322.66



 
 
 

 
BARLOWS PLC
 
BRSHMSAH9
Multi
 
 
984,469.08


3,472.79


(12,790.81
)
9,000,000.00

980,996.29



 
 
 

 
MACQUARIE SECURITIES SOUTH AFR
 
BRSHR7A80
Multi
 
 
1,088,253.48


3,843.07


(9,240.32
)
10,000,000.00

1,084,410.41



 
 
 

 
TOYOTA FN SRV ZA
 
BRSHR7B97
Multi
 
 
107,730.58


273.46


127.41

1,000,000.00

107,457.12



 
 
 

 
DM AFB FRN 070314 J+90
 
BRSHR7D04
Multi
 
 
329,050.20

57.13



(2,055.12
)
3,000,000.00

329,050.20

1,340.92


 
 
 

 
DM STD FRS 081113 J+37.5
 
BRSHR7D20
Multi
 
 
545,649.97

173.36

(29.17
)

(261.68
)
5,000,000.00

545,679.14

4,229.50


 
 
 
(2,363.62
)
 
AFB FRN 130913 J+45
 
BRSHR7D38
Multi
 
 
108,869.61

54.39



128.75

1,000,000.00

108,869.61

316.69


 
 
 

 
DREYFUS UNIVERSAL USD LIQ FD
 
DRFUNI$20
Multi
 
 
60,921,077.90





60,921,077.90

60,921,077.90



 
 
 
935.56

 
GOLDMAN SACHS
 
GLDSCS$03
Multi
 
 
12,259,272.51





12,259,272.51

12,259,272.51



 
 
 
1,124.73

 



RESILIENT PROPERTY INCOME FUND
 
S6917M183
Multi
 
 
1,356,192.72

(1,750.20
)


(48,212.40
)
12,000,000.00

1,356,192.72

7,677.06


 
 
 

 
TOYOTA FN SRV ZA
 
S87137AF2
Multi
 
 
1,244,446.97

467.27

766.76


(45,904.34
)
11,000,000.00

1,243,680.21

8,343.91


 
 
 
2,149.90

 
BONY CASH RESERVE
 
S875996$0
Multi
 
 
86,607,117.00





86,607,117.00

86,607,117.00



 
 
 
2,201.27

 
BONY CASH RESERVE
 
S99992562
Multi
 
 
44,266,547.01





44,266,547.01

44,266,547.01



 
 
 

 
GOLDMAN SACHS USD LIQ RESERVE
 
S99992802
Multi
 
 
30,713.84





30,713.84

30,713.84



 
 
 
0.39

 
BLACKROCK INTL $ RESERVE
 
S99993578
Multi
 
 
13,911.12





13,911.12

13,911.12



 
 
 
3,083.71

 
 
 
 
 
 
 
368,404,362.92

37,951.44

22,286.84


(823,624.90
)
600,494,997.59

368,414,365.35

144,772.36

 
 
 
 
 
 


Validus Holdings, Ltd. March 31, 2013 GAAP fixed maturity portfolio in Schedule D format
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
1
2
Codes
6
7
 
9
10
 CHANGE IN BOOK/ADJUSTED CARRYING VALUE
INTEREST
DATES
 
 
3
4
5
 
 
8
 
 
11
12
13
14
15
16
17
18
19
20
21
 
 
 
FOREIGN
BOND
NAIC
 
 GAAP FAIR
 
 GAAP
 
 CURRENT YEAR
 
 TOTAL FX CHG
INTEREST
EFFECTIVE
HOW
 ACCRUED
 GROSS REC'D
 
 
CUSIP
DESCRIPTION
*
CODE
CHAR
DESIG
 ACTUAL COST
 MARKET VALUE
 PAR VALUE
 BOOK VALUE
 UGL
 AMORTIZATION
 IMPAIRMENTS
 IN B/A. C.V.
RATE
RATE OF
PAID
 INTEREST
 DURING YEAR
 ACQUIRED
MATURITY
03979GAL9
ARDEN REALTY LP SENIOR CORP BND
 
 
 
 
3,226,650.00

3,194,966.58

3,000,000.00

3,108,645.48

86,321.10

(15,634.48
)


5.25

3.007

MS
13,125.01

78,750.00

11/27/2012
3/1/2015
BRSC095F6
IPAYMENT INC. TERM LOAN
 
 
 
 
2,878,806.40

2,916,412.24

2,898,297.88

2,881,953.74

34,458.50

1,197.40




0.139

FMAN

42,242.52

9/19/2012
3/31/2017
00432CCM1
ACCESS GROUP INC ACCSS_05-2 ABS 05-2
 
 
 
 
2,267,767.11

2,303,902.33

2,328,900.75

2,277,351.46

26,550.87

6,049.59



0.469

1.574

FMAN
1,153.18

3,046.22

8/8/2012
11/22/2024
02005EAC4
ALLYA_12-3 ABS 12-3
 
 
 
 
2,999,894.70

3,014,488.23

3,000,000.00

2,999,916.30

14,571.93

6.51



0.85

0.852

MON
1,133.33

6,375.00

5/22/2012
8/15/2016
06052YAC3
BAAT_12-1 ABS 12-1
 
 
 
 
6,999,750.10

7,024,920.22

7,000,000.00

6,999,819.96

25,100.26

22.98



0.78

0.782

MON
2,426.67

13,650.00

4/11/2012
6/15/2016
06052YAD1
BANK OF AMERICA AUTO TRUST BAA ABS 12-1
 
 
 
 
4,998,468.00

5,044,150.15

5,000,000.00

4,998,889.34

45,260.81

110.53



1.03

1.041

MON
2,288.89

12,874.98

4/11/2012
12/15/2016
12591AAC1
CNH_12-B ABS 12-B
 
 
 
 
2,099,925.87

2,109,786.06

2,100,000.00

2,099,940.94

9,845.12

4.80



0.86

0.862

MON
802.67

4,515.00

6/12/2012
9/15/2017
14041NEK3
COMET_13-A1 ABS 13-A1
 
 
 
 
10,273,447.45

10,265,855.56

10,275,000.00

10,273,372.90

(7,517.34
)
(74.55
)


0.63

0.627

MON
2,877.00

7,911.75

1/23/2013
11/15/2018
14313LAC0
CARMX_13-1 ABS 13-1
 
 
 
 
4,799,854.56

4,793,423.96

4,800,000.00

4,799,857.43

(6,433.47
)
2.87



0.6

0.602

MON
1,280.00

2,480.00

2/6/2013
10/16/2017
161571FR0
CHAIT_12-8 ABS 12-8
 
 
 
 
5,000,828.50

4,992,377.85

5,000,000.00

5,000,741.42

(8,363.57
)
(85.96
)


0.54

0.535

MON
1,200.00

6,750.00

12/6/2012
10/16/2017
161571FV1
CHAIT_13-A2 ABS 13-A2
 
 
 
 
5,000,000.00

5,000,000.00

5,000,000.00

5,000,000.00





0.303

0.303

MON
715.89

714.71

2/19/2013
2/15/2017
254683AW5
DCENT_12-A4 ABS 12-A4
 
 
 
 
4,000,000.00

4,023,165.28

4,000,000.00

4,000,000.00

23,165.28




0.573

0.574

MON
1,082.71

5,625.71

6/5/2012
11/15/2019
254683BB0
DCENT_13 ABS 13
 
 
 
 
8,500,000.00

8,500,000.00

8,500,000.00

8,500,000.00





0.503

0.504

MON
2,019.79

3,557.26

2/6/2013
8/17/2020
28140DAA1
ELAB_12-1 ABS 12-1
 
 
 
 
4,424,836.92

4,435,912.29

4,424,836.92

4,424,836.92

11,075.37




0.654

0.655

MON
562.87

8,226.22

9/19/2012
6/25/2022
34529UAD6
FORDO_12-A ABS 12-A
 
 
 
 
2,339,403.30

2,368,342.90

2,340,000.00

2,339,590.64

28,752.26

39.81



1.15

1.16

MON
1,196.00

6,727.50

1/18/2012
6/15/2017
34529XAD0
FCALT_12-B ABS 12-B
 
 
 
 
8,011,562.50

8,004,320.08

8,000,000.00

8,010,300.32

(5,980.24
)
(1,262.18
)


0.57

0.467

MON
2,026.67

4,940.00

2/1/2013
9/15/2015
36162RAC2
GEEST_12-1A ABS 12-1A 144A
 
 
 
 
2,999,393.10

3,010,680.09

3,000,000.00

2,999,612.31

11,067.78

65.88



1.04

1.051

MON
866.67

7,800.00

5/22/2012
9/21/2015



39153VBJ2
GALC_13-1 ABS 13-1 144A
 
 
 
 
1,774,852.50

1,775,940.77

1,775,000.00

1,774,858.73

1,082.04

6.23



0.78

0.786

MON
615.33

1,230.67

2/5/2013
6/15/2016
43813EAD8
HONDA AUTO RECEIVABLES OWNER T ABS 12-2
 
 
 
 
1,599,694.08

1,613,539.68

1,600,000.00

1,599,786.40

13,753.28

24.82



0.91

0.918

MON
647.10

3,639.99

4/18/2012
5/15/2018
43813UAC4
HAROT_12-1 ABS 12-1
 
 
 
 
2,749,835.00

2,759,972.82

2,750,000.00

2,749,896.59

10,076.23

13.98



0.77

0.773

MON
941.11

5,293.74

2/14/2012
1/15/2016
43814CAC3
HAROT_13-1 ABS 13-1
 
 
 
 
2,996,718.75

2,997,300.12

3,000,000.00

2,996,837.45

462.67

118.70



0.48

0.533

MON
400.00

680.00

2/27/2013
11/21/2016
44890JAB5
HART_13-A ABS 13-A
 
 
 
 
2,299,850.28

2,299,356.00

2,300,000.00

2,299,862.45

(506.45
)
12.17



0.4

0.404

MON
408.89

1,150.00

1/24/2013
12/15/2015
44890KAC0
HART_12-C ABS 12-C
 
 
 
 
2,199,722.58

2,199,692.00

2,200,000.00

2,199,772.43

(80.43
)
27.70



0.53

0.536

MON
518.22

2,915.01

10/10/2012
4/17/2017
44921SAC6
HALST_13-A ABS 13-A 144A
 
 
 
 
3,849,881.04

3,848,998.96

3,850,000.00

3,849,885.87

(886.91
)
4.83



0.51

0.512

MON
2,181.67


2/27/2013
9/15/2015
47787BAB1
JDOT_12-A ABS 12-A
 
 
 
 
212,119.14

212,217.43

212,121.98

212,119.96

97.47

1.08



0.59

0.591

MON
55.62

497.52

2/22/2012
6/16/2014
47787BAD7
JDOT_12-A ABS 12-A
 
 
 
 
3,999,112.40

4,034,119.88

4,000,000.00

3,999,356.91

34,762.97

62.10



0.99

0.998

MON
1,760.00

9,900.00

2/22/2012
6/15/2018
58768TAC0
MBALT_12-A ABS 12-A
 
 
 
 
1,999,889.60

2,006,199.96

2,000,000.00

1,999,940.21

6,259.75

12.39



0.88

0.884

MON
782.22

4,400.01

3/15/2012
11/17/2014
61205PAJ8
MHESA_12-1 ABS 12-1
 
 
 
 
938,115.18

942,805.76

938,115.18

938,115.18

4,690.58




0.803

0.805

MON
251.16

2,291.00

4/27/2012
9/20/2022
65474VAG6
NMOTR_13-A SENIOR ABS 13-A
 
 
 
 
1,680,000.00

1,680,000.00

1,680,000.00

1,680,000.00





0.503

0.503

MON
399.21

352.59

2/20/2013
2/15/2018
65475UAC6
NAROT_12-A ABS 12-A
 
 
 
 
2,699,638.74

2,709,463.34

2,700,000.00

2,699,783.61

9,679.73

32.78



0.73

0.736

MON
876.00

4,927.50

2/15/2012
5/16/2016
73328WAB7
PILOT_12-1 ABS 12-1 144A
 
 
 
 
6,249,568.75

6,251,625.06

6,250,000.00

6,249,758.75

1,866.31

101.95



0.44

0.447

MON
763.89

6,875.01

10/10/2012
2/23/2015
73328WAC5
PILOT_12-1 ABS 12-1 144A
 
 
 
 
1,749,708.45

1,750,227.50

1,750,000.00

1,749,776.78

450.72

35.13



0.54

0.549

MON
262.50

2,362.50

10/10/2012
12/21/2015
78446JAB2
SLMA_11-2 ABS 11-2
 
 
 
 
6,575,000.00

6,658,151.66

6,575,000.00

6,575,000.00

83,151.66




1.404

1.408

MON
1,795.24

22,839.63

12/26/2012
10/25/2034
78446VAA7
SLMA_12-A ABS 12-A 144A
 
 
 
 
5,344,983.26

5,426,814.84

5,344,983.26

5,344,983.26

81,831.58




1.603

1.609

MON
4,046.51

21,846.64

2/2/2012
8/15/2025
78447EAB2
SLMA_12-5 ABS 12-5
 
 
 
 
5,291,230.62

5,292,580.05

5,300,000.00

5,293,311.55

(731.50
)
732.06



0.504

0.561

MON
519.61

6,618.13

7/10/2012
6/25/2019
78447RAC1
SLMA_13-A ABS 13-A 144A
 
 
 
 
2,425,000.00

2,424,975.78

2,425,000.00

2,425,000.00

(24.22
)



1.253

1.256

MON
2,025.19


2/27/2013
5/17/2027
80705WAA7
SCHOL_12-B ABS 12-B 144A
 
 
 
 
797,573.23

797,618.84

799,862.46

797,697.79

(78.95
)
98.22



0.604

0.667

MON
53.66

1,225.19

9/19/2012
10/28/2025
80705XAA5
SCHOL_13-A ABS 13-A 144A
 
 
 
 
2,597,612.94

2,597,211.00

2,610,000.00

2,597,637.00

(426.00
)
24.06



0.853

0.887

MON
742.57


3/12/2013
1/30/2045
89231NAC7
TAOT_12-B ABS 12-B
 
 
 
 
3,999,619.60

3,998,096.32

4,000,000.00

3,999,709.67

(1,613.35
)
43.89



0.46

0.465

MON
817.78

4,599.99

9/18/2012
7/15/2016
89236PAD5
TAOT_12-A ABS 12-A
 
 
 
 
749,928.68

756,097.53

750,000.00

749,946.81

6,150.72

4.77



0.99

0.995

MON
330.00

1,856.25

4/11/2012
8/15/2017
92867GAC7
VALET_12-1 ABS 12-1
 
 
 
 
3,919,954.53

3,938,619.92

3,920,000.00

3,919,958.98

18,660.94

1.03



0.85

0.852

MON
1,018.11

8,330.01

1/19/2012
8/22/2016
BRSFMMQE6
MOTOR_12X ABS 12X
 
 
O
 
1,272,457.03

1,219,424.68

800,000.00

1,272,263.69

(52,839.01
)
(156.88
)

(53,072.88
)
1.244

1.139

MON
289.78

3,710.60

12/28/2012
2/25/2020
620062AC3
MOTOR_12A ABS 12A 144A
 
 
F
 
740,000.00

742,289.56

740,000.00

740,000.00

2,289.56




1.286

1.289

MON
158.61

2,379.12

9/12/2012
2/25/2020
BRSG6Z2D1
TURBF_12-3 SENIOR ABS 12-3
 
 
D
 
1,099,858.78

1,052,583.54

692,126.85

1,099,858.78

(47,275.24
)


(48,898.76
)
1.094

1.096

MON
379.20

4,602.97

11/13/2012
11/20/2019
BRSGEJ3J4
E_CARAT_12 ABS CARAT
 
 
D
 
669,666.35

636,922.04

416,601.67

669,666.35

(32,744.31
)


(37,077.54
)
1.3

1.303

MON
311.04

2,326.57

12/10/2012
6/18/2020
G9141GAA6
TURBO FINANCE PLC TURBF_12-2 ABS 12-2
 
 
D
 
630,465.88

610,652.85

399,618.43

629,208.92

(18,556.07
)
(1,266.28
)

(19,522.28
)
1.894

1.269

MON
379.08

3,423.54

8/15/2012
2/20/2019
31331GVD8
FED FARM CR BKS AGENCY BND
 
 
 
 
2,284,046.00

2,290,905.92

2,290,000.00

2,289,969.53

936.39

391.81



2.2

2.27

AO
24,210.39


5/4/2009
4/8/2013
31331K2T6
FED FARM CR BKS AGENCY BND
 
 
 
 
1,800,000.00

1,804,592.83

1,800,000.00

1,800,000.00

4,592.83




0.39

0.35

MJSD
386.50

1,843.00

1/27/2012
6/13/2014
31331KEF3
FED FARM CR BKS AGENCY BND
 
 
 
 
1,999,640.00

1,999,999.54

2,000,000.00

1,999,991.50

8.04

47.78



0.173

0.177

MON
144.34

877.96

6/7/2011
4/17/2013
31331KHV5
FED FARM CR BKS AGENCY BND
 
 
 
 
998,457.50

1,000,616.67

1,000,000.00

999,001.68

1,614.99

80.43



0.273

0.289

MON
91.07

688.80

7/28/2011
4/20/2016
3133EA5A2
FED FARM CR BKS AGENCY BND
 
 
 
 
5,000,000.00

4,992,021.55

5,000,000.00

5,000,000.00

(7,978.45
)



0.87

0.87

AO
19,695.83


10/11/2012
10/18/2017



3133EA5D6
FED FARM CR BKS AGENCY BND
 
 
 
 
4,498,920.00

4,501,543.50

4,500,000.00

4,499,074.70

2,468.80

110.53



0.224

0.237

MON
252.23

2,540.62

11/23/2012
4/23/2015
3133EAK31
FED FARM CR BKS AGENCY BND
 
 
 
 
499,140.63

499,864.16

500,000.00

499,312.57

551.59

70.38



0.47

0.528

FA
267.64

1,175.00

8/22/2012
8/20/2015
3133EAQP6
FED FARM CR BKS AGENCY BND
 
 
 
 
2,000,380.00

1,999,380.04

2,000,000.00

2,000,242.07

(862.03
)
(53.42
)


0.32

0.309

MN
2,400.00


8/8/2012
5/16/2014
3133EAVE5
FED FARM CR BKS AGENCY BND
 
 
 
 
6,497,855.00

6,502,197.52

6,500,000.00

6,498,228.85

3,968.67

195.78



0.225

0.249

MON
405.70

3,669.78

10/10/2012
6/22/2015
3133EAX29
FED FARM CR BKS AGENCY BND
 
 
 
 
5,000,000.00

4,995,528.35

5,000,000.00

5,000,000.00

(4,471.65
)



0.98

0.98

MS
1,769.44

24,500.00

9/12/2012
9/18/2017
3133EAYZ5
FED FARM CR BKS AGENCY BND
 
 
 
 
2,524,312.44

2,525,753.03

2,525,000.00

2,524,492.25

1,260.78

63.61



0.228

0.282

MON
192.07

1,455.17

7/16/2012
3/20/2015
3133ECHV9
FED FARM CR BKS AGENCY BND
 
 
 
 
4,998,100.00

4,993,149.95

5,000,000.00

4,998,120.46

(4,970.51
)
20.46



0.35

0.367

JJ
777.78

(291.67
)
3/20/2013
7/30/2015
3134G2MJ8
FHLMC AGENCY BND
 
 
 
 
14,685,125.07

14,699,368.06

14,700,000.00

14,698,430.26

937.80

1,834.00



0.153

0.185

MON
938.35

5,718.02

6/9/2011
6/17/2013
45818WAE6
INTER-AMERICAN DEV BANK CORP BND
 
 
E
 
10,232,329.30

10,162,519.31

10,100,000.00

10,156,085.32

6,433.99

(12,180.99
)


0.739

0.359

FMAN
8,294.34

19,695.00

2/22/2012
5/20/2014
4581X0AF5
INTER-AMERICAN DEV BANK CORP BND EMTN
 
 
E
 
7,418,582.14

7,262,624.88

7,200,000.00

7,222,855.40

39,769.48

(20,944.66
)


3.5

2.314

JJ
58,100.00

126,000.00

11/12/2010
7/8/2013
45950KAT7
INTERNATIONAL FINANCE CO CORP BND
 
 
E
 
4,683,362.00

4,715,909.07

4,700,000.00

4,699,568.20

16,340.87

883.23



3.5

3.576

MN
62,144.45


12/14/2011
5/15/2013
45950KAZ3
INTERNATIONAL FINANCE CO CORP BND
 
 
E
 
8,216,320.00

8,230,960.08

8,000,000.00

8,054,652.87

176,307.21

(12,566.48
)


3

2.342

AO
106,000.00


12/11/2009
4/22/2014
45950VBV7
INTERNATIONAL FINANCE CO UNSECURED CORP
 
 
E
 
299,595.00

300,674.99

300,000.00

299,716.10

958.89

33.05



0.5

0.545

MN
566.67


4/26/2012
5/15/2015
45950VCJ3
INTERNATIONAL FINANCE CO SENIOR CORP BND
 
 
E
 
6,189,658.02

6,201,565.61

6,202,000.00

6,190,059.40

11,506.21

401.38



0.5

0.562

MN
3,359.42


2/14/2013
5/16/2016
62889KAA9
NATIONAL CREDIT UNION ADMINIST AGENCY
 
 
 
 
3,200,000.00

3,199,936.00

3,200,000.00

3,200,000.00

(64.00
)



0.222

0.205

MON
395.02

1,809.28

6/8/2011
6/12/2013
742651DB5
PRIVATE EXPORT FUNDING CORPORA SECURED
 
 
 
 
1,646,955.00

1,673,295.02

1,500,000.00

1,570,495.09

102,799.93

(6,398.70
)


4.95

3.07

MN
28,050.00


11/27/2012
11/15/2015
742651DE9
PRIVATE EXPORT FUNDING CORPORA AGENCY
 
 
 
 
915,990.00

899,677.56

750,000.00

898,140.11

1,537.45

(8,062.93
)


5.45

0.914

MS
1,816.67

20,437.50

9/13/2012
9/15/2017
742651DF6
PRIVATE EXPORT FUNDING CORPORA AGENCY
 
 
 
 
7,321,566.00

7,007,700.70

7,000,000.00

7,008,544.87

(844.17
)
(54,931.31
)


3.55

0.37

AO
114,586.11


11/2/2011
4/15/2013
742651DH2
PRIVATE EXPORT FUNDING CORPORA AGENCY
 
 
 
 
4,868,226.00

4,794,902.00

4,600,000.00

4,779,763.10

15,138.90

(28,750.96
)


3.05

0.497

AO
64,693.88


6/26/2012
10/15/2014
912828JQ4
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,331,674.13

10,151,200.00

10,000,000.00

10,142,905.99

8,294.01

(61,170.93
)


2.75

0.283

AO
115,469.61


6/22/2012
10/31/2013
912828KJ8
UNITED STATES TREASURY GOVT BND
 
 
 
 
1,021,350.61

1,015,679.93

1,000,000.00

1,014,884.63

795.30

(3,683.09
)


1.75

0.255

MS
47.82

8,750.00

10/23/2012
3/31/2014
912828KV1
UNITED STATES TREASURY GOVT BND
 
 
 
 
6,410,665.48

6,399,437.88

6,250,000.00

6,399,404.04

33.84

(12,781.74
)


2.25

0.194

MN
47,132.55

(33,100.95
)
2/27/2013
5/31/2014
912828LZ1
UNITED STATES TREASURY GOVT BND
 
 
 
 
3,412,500.00

3,351,985.26

3,250,000.00

3,316,427.27

35,557.99

(11,895.13
)


2.125

0.885

MN
23,147.32

5,078.98

10/14/2010
11/30/2014
912828MH0
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,207,203.37

10,653,838.84

10,275,000.00

10,249,185.49

404,653.35

3,848.04



2.25

2.391

JJ
38,318.37

148,823.65

1/29/2010
1/31/2015
912828MR8
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,521,517.88

10,405,400.10

10,000,000.00

10,373,707.34

31,692.76

(57,166.48
)


2.375

0.412

FA
20,652.17

209,944.75

6/27/2012
2/28/2015
912828NF3
UNITED STATES TREASURY GOVT BND
 
 
 
 
15,422,061.14

15,337,787.65

14,750,000.00

15,326,556.56

11,231.09

(65,613.46
)


2.125

0.312

MN
105,053.22


12/11/2012
5/31/2015
912828NZ9
UNITED STATES TREASURY GOVT BND
 
 
 
 
12,191,496.90

12,180,364.36

11,900,000.00

12,081,319.66

99,044.70

(17,894.80
)


1.25

0.633

MS
808.43

74,375.00

9/16/2011
9/30/2015
912828PE4
UNITED STATES TREASURY GOVT BND
 
 
 
 
2,979,986.28

2,969,281.00

2,900,000.00

2,954,762.48

14,518.52

(15,123.58
)


1.25

0.512

AO
15,220.99

64,682.32

1/18/2012
10/31/2015
912828PQ7
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,123,517.88

10,067,200.00

10,000,000.00

10,053,908.23

13,291.77

(16,900.11
)


1

0.316

JJ
20,994.48

50,000.00

6/22/2012
1/15/2014
912828QE3
UNITED STATES TREASURY GOVT BND
 
 
 
 
299,872.10

300,105.00

300,000.00

299,994.84

110.16

16.02



0.625

0.647

AO
787.29


4/27/2011
4/30/2013
912828QF0
UNITED STATES TREASURY GOVT BND
 
 
 
 
20,986,718.75

20,989,398.20

20,000,000.00

20,941,486.17

47,912.03

(45,232.58
)


2

0.459

AO
167,955.80

(108,287.29
)
2/1/2013
4/30/2016
912828QH6
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,155,111.63

10,095,300.00

10,000,000.00

10,085,472.40

9,827.60

(24,033.91
)


1.25

0.272

FA
15,538.67

62,500.00

7/12/2012
2/15/2014
912828QM5
UNITED STATES TREASURY GOVT BND
 
 
 
 
44,436,709.90

44,398,642.64

44,000,000.00

44,392,322.65

6,319.99

(44,387.25
)


1

0.204

MN
166,519.34

(110,607.73
)
2/14/2013
5/15/2014
912828QS2
UNITED STATES TREASURY GOVT BND
 
 
 
 
119,865,008.02

119,792,540.00

119,000,000.00

119,770,376.26

22,163.74

(94,631.76
)


0.75

0.212

JD
262,355.76

(129,951.92
)
2/5/2013
6/15/2014



912828QU7
UNITED STATES TREASURY GOVT BND
 
 
 
 
7,922,921.87

7,892,311.58

7,850,000.00

7,882,252.64

10,058.94

(6,187.51
)


0.625

0.306

JJ
10,300.42

24,531.25

8/9/2011
7/15/2014
912828QX1
UNITED STATES TREASURY GOVT BND
 
 
 
 
70,268,081.36

71,024,321.95

68,600,000.00

69,731,302.00

1,293,019.95

(82,468.76
)


1.5

0.996

JJ
170,552.49

514,500.00

8/16/2011
7/31/2016
912828RA0
UNITED STATES TREASURY GOVT BND
 
 
 
 
13,266,562.50

13,258,746.33

13,250,000.00

13,253,227.65

5,518.68

(4,807.78
)


0.375

0.277

JD
12,490.50

6,191.64

3/20/2012
6/30/2013
912828RB8
UNITED STATES TREASURY GOVT BND
 
 
 
 
201,063.17

200,801.99

200,000.00

200,488.78

313.21

(87.39
)


0.5

0.322

FA
124.31

500.00

8/10/2011
8/15/2014
912828RD4
UNITED STATES TREASURY GOVT BND
 
 
 
 
6,240,987.73

6,249,875.00

6,250,000.00

6,248,020.95

1,854.05

1,639.06



0.125

0.197

FA
679.35

6,411.35

9/6/2011
8/31/2013
912828RF9
UNITED STATES TREASURY GOVT BND
 
 
 
 
37,306,557.22

37,590,399.74

36,900,000.00

37,213,781.54

376,618.20

(23,285.27
)


1

0.745

FA
32,262.29

201,323.20

9/6/2012
8/31/2016
912828RG7
UNITED STATES TREASURY GOVT BND
 
 
 
 
4,189,842.19

4,202,141.79

4,200,000.00

4,195,033.42

7,108.37

969.70



0.25

0.332

MS
485.05

6,666.44

9/21/2011
9/15/2014
912828RJ1
UNITED STATES TREASURY GOVT BND
 
 
 
 
5,960,625.00

6,112,260.12

6,000,000.00

5,972,051.02

140,209.10

1,931.55



1

1.136

MS
163.93

30,000.00

10/11/2011
9/30/2016
912828RK8
UNITED STATES TREASURY SENIOR GOVT BND
 
 
 
 
9,981,674.13

10,000,399.00

10,000,000.00

9,992,835.64

7,563.36

3,557.32



0.125

0.269

MS
34.15

6,250.00

6/21/2012
9/30/2013
912828RL6
UNITED STATES TREASURY GOVT BND
 
 
 
 
11,646,710.74

11,648,603.88

11,600,000.00

11,643,296.46

5,307.42

(2,712.43
)


0.5

0.257

AO
26,769.23

(18,406.59
)
2/25/2013
10/15/2014
912828RM4
UNITED STATES TREASURY GOVT BND
 
 
 
 
80,949,925.63

81,382,946.40

79,900,000.00

80,865,860.46

517,085.94

(74,106.92
)


1

0.657

AO
335,491.72

(2,720.99
)
2/4/2013
10/31/2016
912828RQ5
UNITED STATES TREASURY GOVT BND
 
 
 
 
33,894,390.91

33,980,004.00

33,900,000.00

33,897,097.32

82,906.68

1,294.64



0.375

0.38

MN
48,110.85

24,913.68

12/13/2011
11/15/2014
912828RS1
UNITED STATES TREASURY GOVT BND
 
 
 
 
5,000,000.00

5,003,500.00

5,000,000.00

5,000,000.00

3,500.00




0.25

0.25

MN
4,189.56

3,262.36

12/2/2011
11/30/2013
912828RU6
UNITED STATES TREASURY GOVT BND
 
 
 
 
17,725,393.44

17,995,125.55

17,750,000.00

17,731,960.96

263,164.59

1,261.97



0.875

0.903

MN
52,055.29

11,472.36

12/19/2011
11/30/2016
912828RV4
UNITED STATES TREASURY GOVT BND
 
 
 
 
7,974,062.50

8,002,960.24

8,000,000.00

7,985,149.39

17,810.85

2,205.07



0.25

0.359

JD
5,879.12

370.88

12/19/2011
12/15/2014
912828RX0
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,077,377.25

10,134,700.80

10,000,000.00

10,064,360.67

70,340.13

(4,626.02
)


0.875

0.7

JD
22,241.62


6/21/2012
12/31/2016
912828RZ5
UNITED STATES TREASURY GOVT BND
 
 
 
 
3,392,175.46

3,400,748.10

3,400,000.00

3,395,274.98

5,473.12

652.63



0.25

0.328

JJ
1,784.53

4,250.00

1/25/2012
1/15/2015
912828SC5
UNITED STATES TREASURY GOVT BND
 
 
 
 
17,274,081.05

17,427,555.66

17,200,000.00

17,265,931.94

161,623.72

(4,208.46
)


0.875

0.773

JJ
24,944.75

56,952.77

1/4/2013
1/31/2017
912828SE1
UNITED STATES TREASURY GOVT BND
 
 
 
 
50,787,123.99

50,997,451.54

51,000,000.00

50,866,256.41

131,195.13

18,844.86



0.25

0.39

FA
15,849.44

69,799.72

5/21/2012
2/15/2015
912828SK7
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,315,557.95

10,324,925.69

10,300,000.00

10,312,701.25

12,224.44

(1,728.50
)


0.375

0.312

MS
1,784.31

20,949.24

11/26/2012
3/15/2015
912828SP6
UNITED STATES TREASURY GOVT BND
 
 
 
 
34,054,293.59

34,075,480.00

34,000,000.00

34,044,537.25

30,942.75

(5,123.54
)


0.375

0.31

AO
58,846.16

432.69

2/13/2013
4/15/2015
912828SS0
UNITED STATES TREASURY GOVT BOND
 
 
 
 
16,623,160.75

16,697,505.99

16,500,000.00

16,621,787.03

75,718.96

(1,373.72
)


0.875

0.691

AO
60,621.55

(53,841.51
)
3/13/2013
4/30/2017
912828TB6
UNITED STATES TREASURY GOVT BND
 
 
 
 
2,515,195.88

2,514,225.00

2,500,000.00

2,513,047.91

1,177.09

(753.49
)


0.75

0.625

JD
4,713.39


7/13/2012
6/30/2017
912828TD2
UNITED STATES TREASURY GOVT BND
 
 
 
 
36,219,498.17

36,269,871.00

36,300,000.00

36,231,737.09

38,133.91

6,531.76



0.25

0.332

JJ
19,052.49

37,502.08

3/11/2013
7/15/2015
912828TG5
UNITED STATES TREASURY GOVT BND
 
 
 
 
2,184,108.93

2,187,350.07

2,200,000.00

2,186,195.87

1,154.20

776.17



0.5

0.647

JJ
1,823.20

5,500.00

7/30/2012
7/31/2017
912828TL4
UNITED STATES TREASURY GOVT BND
 
 
 
 
2,999,531.25

3,001,529.85

3,000,000.00

2,999,656.00

1,873.85

60.16



0.25

0.258

FA
652.17

3,750.00

9/24/2012
8/31/2014
912828TM2
UNITED STATES TREASURY GOVT BND
 
 
 
 
1,993,053.58

1,997,940.06

2,000,000.00

1,993,441.86

4,498.20

363.82



0.625

0.701

FA
1,086.96

6,250.00

12/24/2012
8/31/2017
912828TP5
UNITED STATES TREASURY GOVT BND
 
 
 
 
4,244,189.46

4,243,880.13

4,250,000.00

4,244,215.02

(334.89
)
592.62



0.25

0.306

MS
490.83

4,565.96

3/27/2013
9/15/2015
912828TS9
UNITED STATES TREASURY GOVT BND
 
 
 
 
13,731,000.00

13,772,952.14

13,800,000.00

13,737,187.53

35,764.61

3,395.55



0.625

0.728

MS
235.65

43,125.00

10/18/2012
9/30/2017
912828UA6
UNITED STATES TREASURY GOVT BND
 
 
 
 
13,404,474.69

13,385,412.27

13,430,000.00

13,405,586.58

(20,174.31
)
1,173.79



0.625

0.665

MN
28,132.90

(2,237.98
)
1/4/2013
11/30/2017
912828UC2
UNITED STATES TREASURY GOVT BND
 
 
 
 
74,709,960.94

74,838,753.00

75,000,000.00

74,726,279.93

112,473.07

18,839.01



0.25

0.386

JD
55,116.76

(20,032.14
)
1/31/2013
12/15/2015
912828UE8
UNITED STATES TREASURY GOVT BND
 
 
 
 
62,884,388.61

63,109,487.14

63,020,000.00

62,887,677.15

221,809.99

6,545.87



0.75

0.795

JD
118,815.34

(41,742.26
)
3/22/2013
12/31/2017
912828UJ7
UNITED STATES TREASURY GOVT BND
 
 
 
 
10,196,812.50

10,266,095.49

10,200,000.00

10,196,882.86

69,212.63

83.54



0.875

0.881

JJ
14,792.82

(2,715.65
)
2/15/2013
1/31/2018
912828UK4
UNITED STATES TREASURY GOVT BND
 
 
 
 
65,984,062.35

66,014,521.98

66,000,000.00

65,985,125.57

29,396.41

1,125.44



0.25

0.262

JJ
27,348.07

(1,359.59
)
2/22/2013
1/31/2015



912828UR9
UNITED STATES TREASURY GOVT BND
 
 
 
 
43,953,831.26

44,247,034.99

44,255,000.00

43,957,192.46

289,842.53

3,453.24



0.75

0.89

FA
28,907.92

(10,687.80
)
3/27/2013
2/28/2018
36179MEL0
GNMA POOL # MA0139
 
 
 
 
4,864,064.77

4,865,346.31

4,590,770.45

4,853,917.13

11,429.18

(14,343.69
)


3

1.773

MON
11,476.93

35,344.44

6/19/2012
6/20/2027
36179MK82
GNMA POOL # MA0319
 
 
 
 
246,187.85

242,578.07

224,093.61

245,964.04

(3,385.97
)
(1,784.02
)


4

1.913

MON
746.98

2,362.07

10/4/2012
8/20/2042
36179MNJ5
GNMA POOL # MA0393
 
 
 
 
3,009,784.08

2,971,251.95

2,744,842.44

3,007,811.26

(36,559.31
)
(21,896.55
)


4

1.929

MON
9,149.47

29,009.59

10/18/2012
9/20/2042
36179MQN3
GNMA POOL # MA0461
 
 
 
 
2,092,410.19

2,054,846.34

1,965,858.08

2,091,355.75

(36,509.41
)
(2,068.75
)


3

2.098

MON
4,914.65

14,889.98

10/31/2012
10/20/2042
36201YER3
GNMA POOL # 606844
 
 
 
 
1,066,934.58

1,118,648.71

1,018,211.56

1,065,236.34

53,412.37

(3,822.56
)


5

3.705

MON
4,242.55

13,326.72

4/23/2010
9/15/2033
36202E5P0
GNMA POOL # 004454
 
 
 
 
12,543.67

12,714.71

11,790.20

12,460.77

253.94

(77.06
)


4.5

2.788

MON
44.21

140.92

10/7/2010
6/20/2024
36202EVU0
GNMA POOL # 004227
 
 
 
 
10,715.21

10,924.71

10,071.57

10,659.46

265.25

(662.75
)


4.5

2.482

MON
37.77

233.93

10/7/2010
7/20/2023
36202FAE6
GNMA POOL # 004505
 
 
 
 
39,206.30

39,674.23

36,851.27

38,950.17

724.06

(218.12
)


4.5

2.813

MON
138.19

437.59

10/7/2010
8/20/2024
36202FBR6
GNMA POOL # 004548
 
 
 
 
24,364.48

24,655.27

22,900.96

24,210.60

444.67

(183.31
)


4.5

2.797

MON
85.88

278.27

10/7/2010
10/20/2024
36202FD78
GNMA POOL # 004626
 
 
 
 
1,167,109.75

1,181,216.67

1,097,004.31

1,159,933.48

21,283.19

(6,531.00
)


4.5

2.836

MON
4,113.77

12,997.65

10/7/2010
2/20/2025
36202FET9
GNMA POOL # 004646
 
 
 
 
191,421.49

193,735.21

179,923.27

190,266.98

3,468.23

(843.84
)


4.5

2.824

MON
674.71

2,105.61

10/7/2010
3/20/2025
36202FF43
GNMA POOL # 004687
 
 
 
 
530,162.65

536,570.74

498,317.06

527,582.79

8,987.95

(2,242.28
)


4.5

2.832

MON
1,868.69

5,815.81

10/7/2010
5/20/2025
36202FFH4
GNMA POOL # 004668
 
 
 
 
706,096.11

714,630.72

663,682.63

701,928.29

12,702.43

(5,884.97
)


4.5

2.807

MON
2,488.81

8,095.17

10/7/2010
4/20/2025
36202FZV1
GNMA POOL # 005256
 
 
 
 
5,526,277.96

5,509,259.55

5,154,208.54

5,506,924.34

2,335.21

(29,634.53
)


3.5

1.904

MON
15,033.10

46,985.02

1/18/2012
12/20/2026
36202KME2
GNMA POOL # 008457
 
 
 
 
406,900.69

416,891.16

401,258.00

406,046.09

10,845.07

(373.10
)


1.75

1.365

MON
585.17

1,854.72

3/18/2009
7/20/2024
36204J4C7
GNMA POOL # 371719
 
 
 
 
240,882.77

259,824.98

226,713.20

238,293.61

21,531.37

(591.36
)


6.5

5.043

MON
1,228.03

3,757.21

9/11/2008
4/15/2024
36204SV60
GNMA POOL # 378737
 
 
 
 
243,251.96

269,350.94

228,943.00

240,811.83

28,539.11

(3,404.04
)


6.5

4.867

MON
1,240.11

4,638.42

9/11/2008
1/15/2024
36205BKY7
GNMA POOL # 385611
 
 
 
 
344,726.35

371,834.47

324,448.34

341,172.52

30,661.95

(2,245.42
)


6.5

4.975

MON
1,757.43

5,822.87

9/11/2008
4/15/2024
3620A2KC9
GNMA POOL # 716791
 
 
 
 
1,216,597.26

1,254,732.76

1,150,786.62

1,210,604.12

44,128.64

(4,197.76
)


5

2.843

MON
4,794.94

15,040.90

9/29/2009
4/15/2024
3620A32R4
GNMA POOL # 718184
 
 
 
 
75,919.41

76,959.00

71,338.16

75,551.79

1,407.21

(630.38
)


4.5

2.402

MON
267.52

871.29

10/7/2010
3/15/2025
3620A5FJ3
GNMA POOL # 719369
 
 
 
 
694,080.70

701,525.04

650,287.88

690,571.00

10,954.04

(7,228.00
)


4.5

2.319

MON
2,438.58

8,366.17

8/31/2010
4/15/2025
3620A6AC1
GNMA POOL # 720103
 
 
 
 
698,620.34

771,165.36

686,604.74

697,951.21

73,214.15

(663.46
)


4.5

4.237

MON
2,574.77

7,971.03

6/18/2009
6/15/2039
3620A6DZ7
GNMA POOL # 720220
 
 
 
 
1,293,139.17

1,342,403.77

1,231,194.68

1,286,318.48

56,085.29

(2,513.28
)


5

3.393

MON
5,129.98

15,610.92

7/29/2009
7/15/2024
3620A7R64
GNMA POOL # 721509
 
 
 
 
360,412.82

365,348.11

338,664.25

358,482.38

6,865.73

(2,155.41
)


4.5

2.588

MON
1,269.99

4,111.92

10/7/2010
2/15/2025
3620A7RQ0
GNMA POOL # 721495
 
 
 
 
439,380.82

445,397.41

412,867.00

436,909.51

8,487.90

(1,006.74
)


4.5

2.659

MON
1,548.25

4,697.25

10/7/2010
1/15/2025
3620A9MU2
GNMA POOL # 723171
 
 
 
 
40,632.51

41,174.48

38,180.60

40,423.99

750.49

(278.33
)


4.5

2.394

MON
143.18

455.87

10/7/2010
10/15/2024
3620A9QJ3
GNMA POOL # 723257
 
 
 
 
572,658.11

580,296.44

538,101.88

569,598.35

10,698.09

(4,005.11
)


4.5

2.454

MON
2,017.88

6,446.15

10/7/2010
9/15/2024
3620A9WS6
GNMA POOL # 723457
 
 
 
 
597,367.79

605,335.73

561,320.51

594,116.95

11,218.78

(3,412.46
)


4.5

2.57

MON
2,104.95

6,619.92

10/7/2010
12/15/2024
3620A9WW7
GNMA POOL # 723461
 
 
 
 
306,745.41

310,836.89

288,235.29

305,164.61

5,672.28

(2,087.62
)


4.5

2.457

MON
1,080.88

3,454.74

10/7/2010
12/15/2024
3620A9ZN4
GNMA POOL # 723549
 
 
 
 
781,985.57

792,693.60

734,797.78

777,758.18

14,935.42

(4,298.05
)


4.5

2.582

MON
2,755.49

8,714.41

10/7/2010
1/15/2025
3620ADCM2
GNMA POOL # 726476
 
 
 
 
8,093,437.21

8,285,326.42

7,682,883.13

8,051,563.44

233,762.98

(27,248.77
)


4.5

2.746

MON
28,810.81

89,544.44

12/8/2009
11/15/2024
3620AFY35
GNMA POOL # 728930
 
 
 
 
100,002.68

101,336.56

93,968.17

99,483.34

1,853.22

(566.45
)


4.5

2.474

MON
352.38

1,123.98

10/7/2010
12/15/2024
3620AKQR0
GNMA POOL # 732264
 
 
 
 
224,440.71

227,514.05

210,897.15

223,268.00

4,246.05

(1,742.16
)


4.5

2.587

MON
790.86

2,552.32

10/7/2010
4/15/2025



3620AKR57
GNMA POOL # 732308
 
 
 
 
45,990.29

46,620.06

43,215.08

45,808.09

811.97

(69.53
)


4.5

1.909

MON
162.06

491.04

10/7/2010
4/15/2025
3620AL5N0
GNMA POOL # 733553
 
 
 
 
495,055.68

501,834.67

465,182.26

492,653.33

9,181.34

(1,404.16
)


4.5

2.433

MON
1,744.43

5,371.04

10/7/2010
4/15/2025
3620AQ5X7
GNMA POOL # 737162
 
 
 
 
329,635.00

334,148.82

309,743.65

327,889.24

6,259.58

(717.08
)


4.5

2.614

MON
1,161.54

3,525.53

10/7/2010
4/15/2025
3620AQ6A6
GNMA POOL # 737165
 
 
 
 
1,101,324.31

1,116,405.16

1,034,866.48

1,095,812.40

20,592.76

(6,937.51
)


4.5

2.499

MON
3,880.75

12,406.50

10/7/2010
4/15/2025
3620AQG72
GNMA POOL # 736522
 
 
 
 
571,802.40

579,632.30

537,297.80

568,931.24

10,701.06

(1,589.01
)


4.5

2.506

MON
2,014.87

6,172.43

10/7/2010
4/15/2025
3620AQHC0
GNMA POOL # 736527
 
 
 
 
204,447.28

207,246.86

192,110.21

203,373.14

3,873.72

(2,404.92
)


4.5

2.598

MON
720.41

2,491.71

10/7/2010
4/15/2025
3620AQXC2
GNMA POOL # 736975
 
 
 
 
376,545.95

381,702.14

353,823.83

374,609.93

7,092.21

(1,440.50
)


4.5

2.505

MON
1,326.84

4,113.11

10/7/2010
2/15/2025
3620ASPY9
GNMA POOL # 738539
 
 
 
 
4,599,682.74

4,667,296.12

4,281,886.47

4,594,613.90

72,682.22

(31,685.57
)


4

2.193

MON
14,272.96

45,762.36

10/3/2011
7/15/2041
3620AWE48
GNMA POOL # 741855
 
 
 
 
204,258.58

207,055.57

191,932.89

203,197.01

3,858.56

(1,462.19
)


4.5

2.601

MON
719.75

2,345.69

10/7/2010
5/15/2025
3620AWE63
GNMA POOL # 741857
 
 
 
 
163,990.19

166,235.77

154,094.44

163,190.66

3,045.11

(1,284.86
)


4.5

2.47

MON
577.85

1,933.37

10/7/2010
5/15/2025
36210B4N2
GNMA POOL # 487829
 
 
 
 
325,652.36

339,312.05

314,639.97

324,287.34

15,024.71

(1,573.60
)


4.5

3.323

MON
1,179.90

3,848.39

3/26/2009
4/15/2024
36210B4Q5
GNMA POOL # 487831
 
 
 
 
121,396.00

125,201.30

114,829.22

120,836.48

4,364.82

(755.94
)


5

2.721

MON
478.46

1,532.97

9/29/2009
4/15/2024
36210B4R3
GNMA POOL # 487832
 
 
 
 
489,941.13

511,192.01

468,843.20

487,684.99

23,507.02

(600.62
)


5

3.257

MON
1,953.51

5,926.73

3/26/2009
4/15/2024
36210BZH1
GNMA POOL # 487744
 
 
 
 
605,746.80

624,734.58

572,979.54

602,787.24

21,947.34

(2,176.56
)


5

2.802

MON
2,387.41

7,408.78

9/29/2009
3/15/2024
36210BZJ7
GNMA POOL # 487745
 
 
 
 
370,600.23

382,217.08

350,552.98

368,754.60

13,462.48

(836.75
)


5

2.836

MON
1,460.64

4,435.14

9/29/2009
3/15/2024
36211V6Q8
GNMA POOL # 524779
 
 
 
 
219,650.14

229,348.78

210,348.78

218,557.97

10,790.81

(311.09
)


5

3.384

MON
876.45

2,664.94

3/26/2009
1/15/2024
36225BPY8
GNMA POOL # 781339
 
 
 
 
251,889.56

261,988.54

228,212.50

250,186.88

11,801.66

(878.32
)


8

5.531

MON
1,521.42

4,663.00

3/7/2008
9/15/2031
36225C6Y7
GNMA POOL # 080886
 
 
 
 
8,229,209.95

8,321,900.63

8,028,497.50

8,219,338.48

102,562.15

(7,062.55
)


1.75

1.338

MON
11,708.23

35,698.40

3/2/2011
4/20/2034
36225CD29
GNMA POOL # 080120
 
 
 
 
368,831.75

378,262.81

365,067.00

368,452.61

9,810.20

(109.85
)


1.625

1.341

MON
494.36

1,507.93

3/18/2009
10/20/2027
36225DAS3
GNMA POOL # 080916
 
 
 
 
288,772.40

302,052.03

290,177.95

288,884.02

13,168.01

52.14



1.75

1.816

MON
423.18

1,295.20

4/17/2008
5/20/2034
36225DJA3
GNMA POOL # 081156
 
 
 
 
749,432.01

783,127.32

747,330.20

749,216.80

33,910.52

(69.41
)


1.625

1.573

MON
1,012.01

3,087.84

3/18/2009
11/20/2034
36225DJZ8
GNMA POOL # 081179
 
 
 
 
739,805.86

746,170.65

737,731.00

739,593.17

6,577.48

(80.11
)


1.625

1.573

MON
999.01

3,060.80

3/18/2009
12/20/2034
36225DLE2
GNMA POOL # 081224
 
 
 
 
466,082.49

487,922.08

468,277.57

466,219.21

21,702.87

112.08



1.625

1.692

MON
634.13

1,960.38

3/18/2009
1/20/2035
36225EVZ2
GNMA POOL # 082431
 
 
 
 
2,385,384.52

2,494,234.17

2,355,935.33

2,382,196.60

112,037.57

(2,047.00
)


2

1.908

MON
3,926.56

14,371.63

10/28/2009
12/20/2039
36225EWE8
GNMA POOL # 082444
 
 
 
 
468,441.21

476,843.72

458,693.96

468,136.18

8,707.54

(975.47
)


3.75

3.243

MON
1,433.42

4,543.69

11/3/2009
12/20/2039
36241K6L7
GNMA POOL # 782675
 
 
 
 
50,139.17

50,807.94

47,113.59

49,888.66

919.28

(397.52
)


4.5

2.213

MON
176.68

568.09

10/7/2010
6/15/2024
36241KBP2
GNMA POOL # 781846
 
 
 
 
3,869,696.65

4,347,173.24

3,747,890.24

3,863,526.83

483,646.41

(7,878.01
)


6.5

5.711

MON
20,301.08

63,450.26

8/15/2008
9/15/2034
36241KEC8
GNMA POOL # 781931
 
 
 
 
2,615,003.12

2,929,913.42

2,532,690.69

2,611,044.88

318,868.54

(6,126.54
)


6.5

5.721

MON
13,718.74

42,988.76

8/15/2008
5/15/2035
36241KEH7
GNMA POOL # 781936
 
 
 
 
1,770,656.26

1,871,620.67

1,712,588.83

1,768,427.77

103,192.90

(6,889.60
)


4.5

3.722

MON
6,422.20

20,914.81

6/3/2010
6/15/2035
36241KGU6
GNMA POOL # 782011
 
 
 
 
149,083.58

159,674.25

145,892.10

148,957.88

10,716.37

(321.98
)


5

4.417

MON
607.88

1,936.76

7/14/2009
12/15/2035
36241KKB3
GNMA POOL # 782090
 
 
 
 
3,158,995.90

3,489,567.24

3,039,322.60

3,152,006.18

337,561.06

(6,719.00
)


6.5

5.597

MON
16,462.99

51,140.93

11/30/2007
5/15/2036
36241LHQ2
GNMA POOL # 782939
 
 
 
 
5,102,986.77

5,376,175.46

4,869,951.94

5,096,447.04

279,728.42

(22,504.72
)


5

3.796

MON
20,291.46

64,376.39

4/23/2010
9/15/2036
36241LN36
GNMA POOL # 783110
 
 
 
 
1,186,648.41

1,204,036.23

1,095,894.64

1,184,682.47

19,353.76

(8,209.69
)


5.5

3.222

MON
5,022.85

15,800.48

9/23/2010
4/15/2036
36290SJB8
GNMA POOL # 615958
 
 
 
 
6,119,335.03

6,415,938.15

5,839,887.29

6,108,881.11

307,057.04

(20,407.58
)


5

3.779

MON
24,332.86

76,163.20

4/23/2010
9/15/2033



36292DWW8
GNMA POOL # 646061
 
 
 
 
189,426.40

207,816.62

181,649.55

189,076.01

18,740.61

(671.13
)


6.5

5.246

MON
983.94

3,145.79

1/31/2008
11/15/2037
36295KAT0
GNMA POOL # 672418
 
 
 
 
101,036.51

110,845.51

96,888.48

100,852.29

9,993.22

(25.00
)


6.5

5.206

MON
524.81

1,578.88

1/31/2008
12/15/2037
36295P4L3
GNMA POOL # 676827
 
 
 
 
579,573.49

596,812.88

554,698.70

576,559.92

20,252.96

(880.14
)


5

3.233

MON
2,311.25

7,019.63

3/26/2009
5/15/2023
36295PZJ4
GNMA POOL # 676745
 
 
 
 
121,942.44

125,644.79

116,778.65

121,225.23

4,419.56

(1,195.96
)


5

3.447

MON
486.58

1,663.90

3/26/2009
3/15/2023
36295QJE1
GNMA POOL # 677161
 
 
 
 
970,583.50

995,063.74

924,846.94

965,555.42

29,508.32

(3,848.86
)


5

3.129

MON
3,853.53

12,171.48

4/27/2009
8/15/2023
36295TVQ4
GNMA POOL # 680223
 
 
 
 
93,734.42

102,834.48

89,886.15

93,564.02

9,270.46

(433.61
)


6.5

5.215

MON
486.88

1,599.61

1/31/2008
1/15/2038
36296A5Y6
GNMA POOL # 685863
 
 
 
 
87,288.15

89,289.08

82,020.86

86,739.36

2,549.72

(360.60
)


4.5

2.344

MON
307.58

959.71

10/7/2010
5/15/2023
36296DR67
GNMA POOL # 688209
 
 
 
 
60,228.21

61,733.51

57,377.28

59,915.74

1,817.77

(125.19
)


5

3.154

MON
239.07

728.94

7/29/2009
7/15/2023
36296E5H5
GNMA POOL # 689448
 
 
 
 
338,445.15

348,720.81

324,113.28

336,711.21

12,009.60

(575.76
)


5

3.302

MON
1,350.47

4,113.74

3/26/2009
7/15/2023
36296TPY3
GNMA POOL # 700739
 
 
 
 
453,763.37

469,391.56

429,757.39

450,950.51

18,441.05

(2,896.69
)


5.5

3.261

MON
1,969.72

6,342.44

6/3/2009
10/15/2023
36296U3C2
GNMA POOL # 701995
 
 
 
 
284,735.09

293,380.03

272,677.63

283,467.07

9,912.96

(7,716.45
)


5

3.182

MON
1,136.16

4,204.23

3/26/2009
1/15/2024
36296UC73
GNMA POOL # 701294
 
 
 
 
263,183.30

274,516.60

251,774.75

261,801.16

12,715.44

(514.82
)


5

3.4

MON
1,049.06

3,207.02

3/27/2009
1/15/2024
36296URS1
GNMA POOL # 701697
 
 
 
 
729,007.00

751,858.50

689,572.10

725,331.52

26,526.98

(4,008.93
)


5

2.833

MON
2,873.22

9,144.12

9/29/2009
2/15/2024
36296UUL2
GNMA POOL # 701787
 
 
 
 
247,542.64

260,421.26

238,847.12

246,502.70

13,918.56

(289.67
)


5

3.746

MON
995.20

3,020.63

6/11/2009
3/15/2024
36296UXG0
GNMA POOL # 701879
 
 
 
 
279,762.45

283,494.01

262,880.57

278,403.42

5,090.59

(2,843.24
)


4.5

2.109

MON
985.80

3,339.29

10/7/2010
5/15/2024
36296XHH0
GNMA POOL # 704132
 
 
 
 
99,022.46

100,777.30

93,665.94

98,496.91

2,280.39

(225.85
)


5

2.872

MON
390.27

1,185.07

9/29/2009
12/15/2023
36296XLY8
GNMA POOL # 704243
 
 
 
 
560,300.65

589,450.77

540,618.75

558,079.40

31,371.37

(636.91
)


5

3.63

MON
2,252.58

6,837.76

6/11/2009
1/15/2024
36296XWP5
GNMA POOL # 704554
 
 
 
 
1,921,201.14

2,022,372.83

1,854,832.90

1,914,092.78

108,280.05

(7,320.44
)


5

3.667

MON
7,728.47

24,707.45

6/11/2009
6/15/2024
36297A3K7
GNMA
 
 
 
 
421,666.72

440,285.38

403,810.71

419,752.74

20,532.64

(500.62
)


5

3.219

MON
1,682.54

5,104.45

3/26/2009
1/15/2024
36297AKC6
GNMA POOL # 705991
 
 
 
 
78,370.03

79,415.36

73,640.90

77,983.58

1,431.78

(169.85
)


4.5

2.011

MON
276.15

839.99

10/7/2010
1/15/2024
36297AKF9
GNMA POOL # 705994
 
 
 
 
529,829.55

546,437.63

501,168.96

527,330.32

19,107.31

(2,838.16
)


5

2.682

MON
2,088.20

6,620.82

9/29/2009
1/15/2024
36297CV22
GNMA POOL # 708133
 
 
 
 
71,405.00

72,357.43

67,096.17

71,046.22

1,311.21

(142.83
)


4.5

2.062

MON
251.61

764.33

10/7/2010
1/15/2024
36297DFF9
GNMA POOL # 708566
 
 
 
 
1,430,681.91

1,475,528.15

1,353,290.61

1,423,193.42

52,334.73

(6,542.35
)


5

2.949

MON
5,638.71

17,755.90

9/29/2009
4/15/2024
36297DP35
GNMA POOL # 708842
 
 
 
 
33,924.59

34,377.09

31,877.46

33,741.15

635.94

(869.23
)


4.5

2.368

MON
119.54

412.34

10/7/2010
5/15/2024
36297DTR8
GNMA POOL # 708960
 
 
 
 
586,536.85

612,435.32

561,699.19

583,520.32

28,915.00

(1,035.03
)


5

3.481

MON
2,340.41

7,107.74

3/26/2009
3/15/2024
36297G2R0
GNMA POOL # 711884
 
 
 
 
1,862,510.68

1,920,893.05

1,761,760.03

1,853,833.54

67,059.51

(19,261.83
)


5

2.741

MON
7,340.67

25,460.35

9/29/2009
4/15/2024
36297GCD0
GNMA POOL # 711168
 
 
 
 
759,243.91

769,640.53

713,428.43

755,549.67

14,090.86

(4,700.33
)


4.5

2.385

MON
2,675.36

8,462.78

10/7/2010
2/15/2025
36297JJ54
GNMA POOL # 713184
 
 
 
 
1,249,855.97

1,289,034.02

1,182,246.26

1,243,212.09

45,821.93

(9,747.86
)


5

2.975

MON
4,926.03

16,152.18

9/29/2009
4/15/2024
36297KZF1
GNMA POOL # 714542
 
 
 
 
431,229.11

453,527.40

415,955.72

429,390.06

24,137.34

(477.99
)


5

3.793

MON
1,733.15

5,257.51

6/11/2009
6/15/2024
383742TU7
GNMA CMO 08-17 EH
 
 
 
 
800,219.53

778,837.50

761,773.77

774,352.49

4,485.01

(5,608.86
)


5.25

0.943

MON
3,332.76

13,246.69

3/15/2011
1/16/2032
38374CQ53
GNMA CMO_03-86 VJ
 
 
 
 
229,574.34

218,152.30

218,252.48

219,084.02

(931.72
)
(5,286.71
)


5.5

0.603

MON
1,000.32

13,024.71

5/13/2011
6/20/2022
38374GRG9
GNMA CMO_04-38 VA
 
 
 
 
1,013,612.82

965,356.88

952,028.48

963,263.53

2,093.35

(3,574.40
)


5

(0.709
)
MON
3,966.79

12,784.93

1/7/2011
5/20/2015
38374H7F1
GNMA AGENCY CMO 04-69-FG
 
 
 
 
453,495.60

453,206.77

453,070.85

453,141.71

65.06

(115.81
)


0.503

0.43

MON
69.66

945.26

5/21/2010
10/20/2032
38374JUS3
GNMA CMO_04-82 MA
 
 
 
 
2,509,657.52

2,409,094.17

2,360,468.52

2,432,868.36

(23,774.19
)
(16,112.41
)


5

0.638

MON
9,835.28

35,913.73

3/9/2011
11/20/2032



38374VKJ7
GNMA CMO_09-45 BA
 
 
 
 
3,483,285.87

3,307,952.98

3,244,982.47

3,291,915.27

16,037.71

(14,082.09
)


5

0.294

MON
13,520.76

47,261.40

3/7/2011
12/20/2033
38375PXQ9
GNMA CMO 08-11 FB
 
 
 
 
1,736,402.97

1,701,871.10

1,730,097.64

1,736,362.92

(34,491.82
)
(912.76
)


0.803

0.684

MON
424.60

3,822.03

12/3/2012
2/20/2038
38376CUM9
GNMA CMO_09-79 PA
 
 
 
 
8,690,918.69

8,419,850.47

8,179,086.78

8,441,911.45

(22,060.98
)
10,049.16



4.5

0.077

MON
30,671.58

100,357.92

8/2/2011
9/20/2032
38376WSP1
GNMA_10-24 AGENCY CMO 10-24
 
 
 
 
328,337.24

328,251.62

326,196.58

328,302.83

(51.21
)
(258.80
)


0.723

0.48

MON
72.08

632.15

12/5/2012
12/20/2038
38376YC58
GNMA_10-47 AGENCY CMO 10-47
 
 
 
 
3,285,092.41

3,261,229.75

3,181,687.56

3,256,197.81

5,031.94

(5,392.22
)


3

0.956

MON
7,954.22

25,417.72

3/21/2012
11/16/2030
38376YG96
GNMA CMO_10-47 TA
 
 
 
 
253,908.38

250,900.62

247,715.49

251,558.46

(657.84
)
(938.21
)


3

1.202

MON
619.29

2,182.53

6/4/2012
11/16/2030
38377MC61
GNMA CMO_10-147 MG
 
 
 
 
1,146,269.85

1,153,712.31

1,083,943.12

1,143,173.56

10,538.75

(5,209.21
)


2

0.372

MON
1,806.57

5,702.02

7/24/2012
11/16/2025
38376GZ29
GNMA CMBS_11-096 AB
 
 
 
 
3,647,794.97

3,687,895.41

3,611,678.17

3,631,935.57

55,959.84

(2,990.53
)


2.161

1.617

MON
6,502.53

19,820.75

7/7/2011
11/16/2036
38374YGV9
GNMA_10-86 AGENCY CMO 10-86
 
 
 
 
2,170,008.09

2,141,074.66

2,057,489.16

2,150,821.10

(9,746.44
)
(97.82
)


3.5

0.864

MON
6,001.01

18,696.92

2/15/2012
1/20/2036
38376JSV7
GNMA AGENCY CMO 09-103
 
 
 
 
1,205,581.79

1,186,373.12

1,147,148.89

1,184,864.30

1,508.82

(1,367.41
)


4.5

0.657

MON
4,301.81

13,965.32

2/6/2012
12/20/2032
38377WZ56
GNMA_11-99 CMO_11-99
 
 
 
 
5,628,475.87

5,649,089.36

5,618,818.53

5,627,832.18

21,257.18

(604.93
)


0.603

0.567

MON
1,412.19

8,813.87

5/31/2012
7/16/2041
1107098W5
BRITISH COLUMBIA PROVINCE OF CORP BND
 
 
A
 
10,569,800.00

10,539,399.70

10,000,000.00

10,328,207.47

211,192.23

(36,233.55
)


2.85

1.335

JD
83,916.67


7/27/2011
6/15/2015
1107098Z8
BRITISH COLUMBIA PROVINCE OF CORP BND
 
 
A
 
3,499,335.00

3,665,305.00

3,500,000.00

3,499,575.69

165,729.31

32.53



2.1

2.104

MN
27,154.17


5/11/2011
5/18/2016
30216BCD2
EXPORT DEVELOPMENT CANADA CORP BND
 
 
A
 
5,212,650.00

5,202,550.15

5,000,000.00

5,202,435.36

114.79

(10,214.64
)


2.25

0.366

MN
38,437.50

(25,937.50
)
2/15/2013
5/28/2015
427028AA3
CANADA (GOVERNMENT OF) GOVT BND
 
 
A
 
2,550,398.50

2,568,487.45

2,550,000.00

2,550,464.64

18,022.81

(29.43
)


0.875

0.87

FA
2,913.02

11,156.25

8/8/2012
2/14/2017
4488148U0
HYDRO-QUEBEC SENIOR CORP BND
 
 
A
 
4,994,200.00

5,070,750.05

5,000,000.00

4,995,082.24

75,667.81

279.84



1.375

1.399

JD
19,479.17


6/12/2012
6/19/2017
6832348A9
ONTARIO PROVINCE CORP BND
 
 
A
 
3,925,674.04

3,919,012.65

3,750,000.00

3,801,350.46

117,662.19

(18,994.09
)


4.1

2.938

JD
44,843.75

39,633.33

2/19/2010
6/16/2014
6832348Y7
ONTARIO PROVINCE CORP BND
 
 
A
 
5,224,450.00

5,238,900.00

5,000,000.00

5,129,623.37

109,276.63

(14,265.72
)


2.7

1.502

JD
39,375.00


7/28/2011
6/16/2015
68323ABJ2
ONTARIO PROVINCE SENIOR CORP BND
 
 
A
 
4,898,971.00

4,947,186.85

4,900,000.00

4,899,260.79

47,926.06

84.47



0.95

0.957

MN
16,163.19


5/16/2012
5/26/2015
BRSDRTRZ3
EXPORT DEVELOPMENT CANADA(LT)G CORP BND
 
 
T
 
3,070,723.61

3,064,586.51

2,000,000.00

3,070,828.73

(6,242.22
)
24.87


(34,098.10
)
1

1.001

DEC
8,962.91


1/11/2012
12/8/2014
06425YAE9
BK OF ENGLAND EURO NOTE GOVT BND 144A
 
 
F
 
4,998,200.00

5,001,599.90

5,000,000.00

4,998,220.94

3,378.96

20.94



0.5

0.512

MS
833.33


3/11/2013
3/21/2016
20272BAK0
COMMONWEALTH BANK OF AUSTRALIA SENIOR
 
 
F
 
4,611,321.60

4,644,415.91

4,480,000.00

4,535,019.01

109,396.90

(9,182.52
)


2.9

2.041

MS
5,052.44

64,960.00

2/22/2011
9/17/2014
298785FB7
EUROPEAN INVESTMENT BANK CORP BND
 
 
F
 
15,739,300.00

15,661,348.35

15,000,000.00

15,649,124.63

12,223.72

(55,349.62
)


2.875

0.446

JJ
91,041.66

43,125.00

2/15/2013
1/15/2015
298785FV3
EUROPEAN INVESTMENT BANK SENIOR CORP BND
 
 
F
 
10,154,000.00

10,146,600.30

10,000,000.00

10,152,619.44

(6,019.14
)
(1,380.56
)


1.125

0.372

AO
51,875.00

(50,000.00
)
3/20/2013
4/15/2015
298785GB6
EUROPEAN INVESTMENT BANK CORP BND
 
 
F
 
9,990,400.00

10,018,000.80

10,000,000.00

9,990,685.37

27,315.43

285.37



0.625

0.656

AO
6,076.39


2/19/2013
4/15/2016
30254WAB5
FMS WERTMANAGEMENT ANSTALT DES SENIOR
 
 
F
 
10,769,073.75

10,782,758.65

10,775,000.00

10,769,137.17

13,621.48

63.42



0.625

0.643

AO
2,244.79


3/13/2013
4/18/2016
459058CX9
INTL BANK FOR RECONSTRUCT CORP BND
 
 
F
 
14,987,700.00

15,013,498.35

15,000,000.00

14,988,200.94

25,297.41

500.94



0.5

0.526

AO
10,000.00


2/6/2013
4/15/2016
48245ACF6
KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
 
F
 
9,895,433.13

9,912,299.86

9,900,000.00

9,896,155.70

16,144.16

722.57



0.211

0.254

FA
3,655.58


1/23/2013
2/28/2014
50048MAT7
KOMMUNALBANKEN AS SENIOR GOVT BND
 
 
F
 
1,096,205.00

1,100,209.06

1,100,000.00

1,096,587.58

3,621.48

184.06



1

1.071

MS
152.78

5,500.00

9/19/2012
9/26/2017
500769AX2
KREDITANSTALT FUER WIDERAUFBAU CORP BND
 
 
F
 
6,356,400.60

6,345,720.54

6,000,000.00

6,112,539.11

233,181.43

(17,589.75
)


4.125

2.87

AO
114,125.00


8/31/2009
10/15/2014
500769EM2
KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
 
F
 
5,216,400.00

5,225,299.45

5,000,000.00

5,208,975.76

16,323.69

(7,424.24
)


2

0.665

JD
33,333.33

(21,666.67
)
2/13/2013
6/1/2016
500769EP5
KREDITANSTALT FUER WIDERAUFBAU CORP BND
 
 
F
 
7,500,000.00

7,500,074.92

7,500,000.00

7,500,000.00

74.92




0.213

0.2

MON
621.83

4,089.70

6/8/2011
6/17/2013
500769FC3
KREDITANSTALT FUER WIDERAUFBAU SENIOR
 
 
F
 
4,984,150.00

5,025,450.15

5,000,000.00

4,989,062.77

36,387.38

1,299.15



0.625

0.732

AO
13,628.47


4/17/2012
4/24/2015
500769FP4
KREDITANSTALT FUER WIEDERAUFBA SENIOR
 
 
F
 
9,967,900.00

9,987,500.00

10,000,000.00

9,968,868.09

18,631.91

968.09



0.5

0.603

AO
4,861.11


2/20/2013
4/19/2016



515110BG8
LANDWIRTSCHAFTLICHE RENTENBANK SENIOR
 
 
F
 
2,993,280.00

2,997,269.91

3,000,000.00

2,994,010.07

3,259.84

326.42



0.875

0.921

MS
1,385.42

13,125.00

9/5/2012
9/12/2017
62944BAH7
BANK NEDERLANDSE GEMEENTEN UNSEC CORP
 
 
F
 
15,055,200.00

15,252,900.76

15,000,000.00

15,036,787.48

216,113.28

(4,552.88
)


1.375

1.249

MS
4,583.33

175,312.50

3/22/2013
3/23/2015
64127WAF0
NETWORK RAIL INFRASTRUCTURE FI CORP BND
 
 
F
 
4,988,500.00

5,045,049.65

5,000,000.00

4,993,047.63

52,002.02

947.18



0.876

0.954

JJ
8,395.00

21,900.00

1/11/2012
1/20/2015
71645WAT8
PETROBRAS INTERNATIONAL FINANC CORP BND
 
 
F
 
797,304.00

835,866.76

800,000.00

798,413.84

37,452.92

131.19



3.875

3.95

JJ
5,511.11

15,500.00

1/20/2011
1/27/2016
71645WAV3
PETROBRAS INTERNATIONAL FINANC CORP BND
 
 
F
 
1,790,982.00

1,836,087.89

1,800,000.00

1,794,342.33

41,745.56

732.25



2.875

3.051

FA
7,906.25

25,875.00

2/1/2012
2/6/2015
780099CC9
ROYAL BANK OF SCOTLAND PLC THE SENIOR
 
 
F
 
1,699,031.00

1,748,586.68

1,700,000.00

1,699,199.44

49,387.24

77.72



2.55

2.57

MS
1,565.42

21,675.00

9/11/2012
9/18/2015
85771PAD4
STATOIL ASA SENIOR CORP BND
 
 
F
 
2,995,140.00

3,090,434.43

3,000,000.00

2,996,415.28

94,019.15

236.12



1.8

1.834

MN
19,200.00


11/16/2011
11/23/2016
85771SAB2
STATOIL ASA CORP BND
 
 
F
 
6,477,797.25

6,432,753.78

6,225,000.00

6,293,078.04

139,675.74

(19,923.59
)


3.875

2.799

AO
111,228.64

29,207.81

4/6/2010
4/15/2014
87020DAF1
SWEDEN KINGDOM SENIOR GOVT BND 144A MTN
 
 
F
 
9,978,600.00

10,033,499.90

10,000,000.00

9,978,981.09

54,518.81

381.09



1

1.044

FA
9,444.44


2/20/2013
2/27/2018
BRS96AL33
BANK NEDERLANDSE GEMEENTEN CORP BND EMTN
 
 
D
 
2,949,500.73

3,004,096.79

1,950,000.00

2,936,611.62

67,485.17

(1,147.79
)

27,622.85

2.625

2.447

DEC
22,452.16


4/27/2010
12/10/2013
BRS9ND148
EUROPEAN INVESTMENT BANK CORP BND
 
 
D
 
2,615,296.23

2,744,789.41

1,700,000.00

2,589,900.23

154,889.18

(2,415.15
)

18,725.69

3

2.571

DEC
23,055.88


7/12/2010
12/7/2015
BRSDR1PS2
KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
 
D
 
3,183,652.29

3,137,070.63

2,000,000.00

3,180,434.26

(43,363.63
)
(804.52
)

(134,498.97
)
1.75

1.634

JAN
9,594.82

56,404.70

3/20/2012
1/22/2016
BRSF8V463
FMS WERTMANAGEMENT ANSTALT DES SENIOR
 
 
D
 
2,179,374.25

2,147,974.13

1,400,000.00

2,180,814.92

(32,840.79
)
527.08


(60,599.53
)
1

1.098

DEC
6,656.50


7/16/2012
12/1/2015
BRSHR53W9
NEDERLANDSE WATERSCHAPSBANK NV CORP BND
 
 
F
 
6,994,610.00

6,989,577.77

7,000,000.00

6,994,638.41

(5,060.64
)
28.41



0.75

0.776

MS
729.17


3/19/2013
3/29/2016
D2R6KTMR2
FMS WERTMANAGEMENT ANSTALT DES SENIOR
 
 
D
 
2,668,745.00

2,590,931.05

1,700,000.00

2,668,745.00

(77,813.95
)


(87,380.00
)
0.74

0.983

FMAN
2,433.23

5,129.12

7/26/2012
8/3/2015
D40859GT7
KREDITANSTALT FUER WIDERAUFBAU CORP BND
 
 
D
 
3,582,188.95

3,395,579.65

1,850,000.00

3,532,884.51

(137,304.86
)
(32,627.93
)

(157,068.96
)
5.625

0.923

AUG
90,397.01


11/13/2012
8/25/2017
D4085B7T2
KREDITANSTALT FUER WIDERAUFBAU CORP BND
 
 
D
 
3,496,559.00

3,354,166.77

2,000,000.00

3,411,215.99

(57,049.22
)
(15,425.75
)

(163,716.98
)
3.75

1.649

SEP
60,707.92


11/9/2011
9/7/2016
G3157R8G6
EUROPEAN BK RECONSTR AND DEVLP CORP BND
 
 
D
 
2,188,451.06

2,060,790.90

1,344,000.00

2,191,231.42

(130,440.52
)
367.89


(151,397.35
)
1.875

1.935

DEC
11,053.37


4/7/2011
12/10/2013
G5577Y5Y2
LLYODS TSB BANK PLC - LT GTD SENIOR
 
 
D
 
3,363,326.11

3,281,898.76

2,100,000.00

3,366,940.79

(85,042.03
)
974.02


(194,017.54
)
1.5

1.62

MAY
41,092.43


4/25/2012
5/2/2017
G6459FAE2
NETWORK RAIL INFRASTRUCTURE FI LOCAL BND
 
 
D
 
2,735,751.98

2,537,090.57

1,500,000.00

2,620,309.16

(83,218.59
)
(20,850.83
)

(125,758.41
)
4.875

1.207

NOV
35,913.88


11/9/2011
11/27/2015
G924502M9
UNITED KINGDOM GILT GOVT BND
 
 
D
 
1,424,341.36

1,428,849.30

780,000.00

1,423,700.33

5,148.97

(14,476.91
)

468.96

4.5

0.979

MS
3,621.95

83,369.71

3/21/2013
3/7/2019
G924504Y1
UNITED KINGDOM GILT GOVT BND
 
 
D
 
6,394,031.46

5,991,147.73

3,872,000.00

6,342,360.30

(351,212.57
)
(54,513.20
)

(354,138.94
)
2.25

0.261

MS
9,067.42

180,068.83

10/30/2012
3/7/2014
G924507Q5
UNITED KINGDOM GILT GOVT BND
 
 
D
 
15,284,313.95

14,296,054.91

9,000,000.00

15,051,974.81

(755,919.90
)
(79,406.70
)

(832,810.62
)
2.75

0.5

JJ
68,411.44

157,159.75

1/2/2013
1/22/2015
G92450K80
UNITED KINGDOM GILT SENIOR GOVT BND
 
 
D
 
12,038,076.29

12,163,340.26

6,630,000.00

12,009,016.45

154,323.81

(45,314.20
)

46,254.96

5

0.898

MS
34,442.82

83,110.45

3/21/2013
3/7/2018
G92450NU8
UNITED KINGDOM GILT GOVT BND
 
 
D
 
15,103,090.83

13,629,971.63

8,400,000.00

14,291,136.03

(661,164.40
)
(127,217.18
)

(835,683.50
)
5

1.122

MS
43,713.38

336,567.00

11/9/2011
9/7/2014
G92450YT9
UNITED KINGDOM GILT IBND GOVT 3 MO
 
 
D
 
3,272,733.62

3,331,660.31

1,452,000.00

3,255,686.73

75,973.58

(17,046.89
)

42,640.64

1.25

(2.373
)
MN
12,721.72

(10,279.85
)
3/8/2013
11/22/2017
G92451CZ7
UNITED KINGDOM GILT GOVT BND
 
 
D
 
3,902,677.90

3,739,281.82

2,350,000.00

3,852,302.62

(113,020.80
)
(9,041.75
)

(184,886.38
)
2

0.995

JJ
12,991.26

36,736.38

11/9/2011
1/22/2016
G92451GE0
UNITED KINGDOM GILT GOVT BND
 
 
D
 
7,884,787.26

7,645,699.44

4,800,000.00

7,833,661.88

(187,962.44
)
(19,737.39
)

(247,356.62
)
1.75

0.662

JJ
23,218.42

66,444.01

10/30/2012
1/22/2017
G9T44MEB4
UNITED KINGDOM GILT GOVT BND
 
 
D
 
22,644,343.37

21,687,552.16

14,055,000.00

22,631,908.39

(944,356.23
)
(8,327.89
)

(1,156,365.85
)
1

0.855

MS
14,628.39

87,061.29

2/4/2013
9/7/2017
419791YG7
HAWAII ST MUNI BND GO
 
 
 
 
2,007,940.00

2,092,680.00

2,000,000.00

2,003,070.06

89,609.94

(401.50
)


3

2.914

FA
10,000.00

30,000.00

2/10/2010
2/1/2015
4521518V8
ILLINOIS ST MUNI BND GO
 
 
 
 
2,300,000.00

2,416,425.91

2,300,000.00

2,300,000.00

116,425.91




4.421

4.421

JJ
25,420.75

50,841.50

12/28/2012
1/1/2015
438670Q20
HONOLULU HAWAII CITY & CNTY MUNITAX BND
 
 
 
 
1,500,000.00

1,526,610.00

1,500,000.00

1,500,000.00

26,610.00




1.259

1.259

MN
6,872.04


10/26/2012
11/1/2017
76541VKB2
RICHMOND VA MUNITAX BND GO
 
 
 
 
1,500,000.00

1,510,035.00

1,500,000.00

1,500,000.00

10,035.00




1.207

1.207

JJ
3,822.17

9,907.46

6/14/2012
7/15/2016
76541VKC0
RICHMOND VA MUNITAX BND GO
 
 
 
 
5,000,000.00

5,042,650.00

5,000,000.00

5,000,000.00

42,650.00




1.507

1.507

JJ
15,907.22

41,233.20

6/14/2012
7/15/2017



796269UF3
SAN ANTONIO TEX INDPT SCH DIST MUNI BND
 
 
 
 
1,000,000.00

1,026,710.00

1,000,000.00

1,000,000.00

26,710.00




2.235

2.235

FA
2,855.83

11,175.00

12/15/2010
8/15/2014
167562MD6
CHICAGO IL MIDWAY ARPT MUNITAX BND REV
 
 
 
 
3,081,036.68

3,062,610.00

3,000,000.00

3,080,522.69

(17,912.69
)
(437.05
)


3.532

3.389

JJ
26,490.00

52,980.00

12/3/2012
1/1/2041
19648CAE1
COLORADO HOUSING & FINANCE AUT MUNITAX
 
 
 
 
5,030,400.00

5,090,800.00

5,000,000.00

5,024,562.74

66,237.26

(1,909.56
)


1.6

1.438

MN
30,222.22


6/21/2012
5/15/2016
313371PC4
FEDERAL HOME LOAN BANKS UNSEC AGENCY BND
 
 
 
 
2,524,200.00

2,525,250.05

2,500,000.00

2,516,593.67

8,656.38

(2,406.30
)


0.875

0.482

JD
6,623.26


6/18/2012
12/12/2014
313372VR2
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
10,112,500.00

10,076,259.70

10,000,000.00

10,035,031.54

41,228.16

(11,563.11
)


1.2

0.729

JD
30,333.33


7/29/2011
12/30/2013
313373JR4
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
3,153,589.70

3,141,664.06

3,100,000.00

3,121,840.73

19,823.33

(4,684.80
)


1.375

0.762

MN
14,563.54

176.46

7/18/2011
5/28/2014
313376GY5
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
2,002,860.00

2,000,960.00

2,000,000.00

2,000,502.55

457.45

(494.78
)


0.33

0.23

MN
2,218.33


1/25/2012
7/1/2013
313382K85
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
2,997,150.00

2,994,570.00

3,000,000.00

2,997,185.92

(2,615.92
)
35.92



0.45

0.482

MS
487.50


3/13/2013
3/18/2016
3133XSP93
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
3,612,678.30

3,536,344.35

3,465,000.00

3,491,429.09

44,915.26

(9,261.09
)


3.125

2.022

JD
32,484.38


11/25/2009
12/13/2013
3133XWE70
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
7,454,591.35

7,595,996.84

7,395,000.00

7,433,840.33

162,156.51

(7,983.45
)


2.5

2.052

JD
55,462.50


6/22/2012
6/13/2014
3133XWKV0
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
1,809,325.00

1,786,382.41

1,750,000.00

1,783,024.08

3,358.33

(8,582.54
)


2.375

0.385

MS
1,962.67

20,781.25

6/27/2012
3/14/2014
3133XXYX9
FEDERAL HOME LOAN BANKS AGENCY BND
 
 
 
 
9,188,566.41

8,958,914.11

8,925,000.00

8,956,622.49

2,291.62

(35,136.10
)


1.875

0.281

JD
46,484.38


8/10/2011
6/21/2013
3134G2U42
FHLMC AGENCY BND
 
 
 
 
4,200,497.09

4,213,999.50

4,210,000.00

4,207,455.75

6,543.75

1,165.61



0.375

0.488

AO
7,279.80


10/18/2011
10/15/2013
3134G2UA8
FHLMC AGENCY BND
 
 
 
 
11,107,050.00

11,114,729.90

11,000,000.00

11,055,657.24

59,072.66

(9,818.33
)


1

0.634

FA
12,527.77

55,000.00

1/17/2012
8/20/2014
3134G2WG3
FHLMC AGENCY BND
 
 
 
 
1,704,960.60

1,711,662.09

1,700,000.00

1,702,387.86

9,274.23

(399.85
)


0.75

0.654

MS
318.75

6,375.00

8/24/2011
9/22/2014
3134G32F6
FHLMC UNSECURED AGENCY BND
 
 
 
 
2,000,000.00

2,000,060.12

2,000,000.00

2,000,000.00

60.12




0.52

0.516

JD
2,686.67


12/19/2012
12/28/2015
3134G36A3
FHLMC AGENCY BND
 
 
 
 
16,750,000.00

16,754,522.50

16,750,000.00

16,750,000.00

4,522.50




0.6

0.6

FA
8,654.17


2/26/2013
3/28/2016
3134G36F2
FREDDIE MAC GOLD AGENCY BND
 
 
 
 
2,130,000.00

2,131,575.99

2,130,000.00

2,130,000.00

1,575.99




0.42

0.42

MS
323.05


2/25/2013
9/18/2015
3134G3J76
FHLMC AGENCY BND
 
 
 
 
7,002,107.00

6,998,529.72

7,000,000.00

7,001,726.66

(3,196.94
)
(174.40
)


0.45

0.44

MS
2,362.50

16,100.00

9/14/2012
9/4/2015
3134G3LA6
FHLMC AGENCY BND
 
 
 
 
2,100,663.18

2,103,633.00

2,100,000.00

2,100,290.27

3,342.73

(78.43
)


0.375

0.36

FA
743.75

3,937.50

1/26/2012
2/27/2014
3134G3NL0
FHLMC AGENCY BND
 
 
 
 
5,991,600.00

6,012,135.48

6,000,000.00

5,994,662.79

17,472.69

687.25



0.5

0.547

FA
3,083.33

15,000.00

2/6/2012
2/24/2015
3134G3W55
FHLMC UNSECURED AGENCY BND
 
 
 
 
249,972.50

250,145.00

250,000.00

249,975.26

169.74

2.41



0.45

0.454

MN
453.13


12/18/2012
11/24/2015
31359MA45
FNMA AGENCY BND
 
 
 
 
10,962,357.43

10,952,600.10

10,000,000.00

10,398,202.36

554,397.74

(46,576.35
)


5

2.972

AO
230,555.56


11/27/2012
4/15/2015
31359MZC0
FNMA AGENCY BND
 
 
 
 
5,904,904.90

5,831,642.89

5,300,000.00

5,601,286.46

230,356.43

(28,465.81
)


4.375

2.065

AO
106,920.14


7/16/2010
10/15/2015
3135G0CL5
FNMA AGENCY BND
 
 
 
 
14,292,278.00

14,300,501.93

14,300,000.00

14,299,443.13

1,058.80

1,089.44



0.2

0.406

FMAN
3,417.82

8,076.32

12/14/2011
5/17/2013
3135G0RT2
FNMA UNSECURED AGENCY BND
 
 
 
 
9,955,500.00

10,008,900.50

10,000,000.00

9,959,030.58

49,869.92

2,097.42



0.875

0.964

JD
24,548.61


11/27/2012
12/20/2017
3135G0SB0
FNMA UNSECURED AGENCY BND
 
 
 
 
14,971,672.35

14,995,500.15

15,000,000.00

14,973,092.52

22,407.63

1,420.17



0.375

0.441

JD
15,625.00

(7,343.75
)
2/5/2013
12/21/2015
3135G0UM3
FNMA AGENCY BND
 
 
 
 
9,996,500.00

10,022,599.80

10,000,000.00

9,996,608.85

25,990.95

108.85



0.52

0.532

FA
5,055.56


2/5/2013
2/26/2016
3135G0US0
FNMA AGENCY BND
 
 
 
 
3,001,200.00

3,004,199.97

3,000,000.00

3,001,175.18

3,024.79

(24.82
)


0.55

0.506

FA
1,604.17

(1,329.17
)
3/22/2013
2/26/2016
3135G0VA8
FNMA AGENCY BND
 
 
 
 
6,742,305.00

6,761,137.57

6,750,000.00

6,742,619.56

18,518.01

314.56



0.5

0.537

MS
93.75

4,218.75

2/14/2013
3/30/2016
3135G0VB6
FNMA UNSECURED AGENCY BND
 
 
 
 
4,000,000.00

4,003,160.08

4,000,000.00

4,000,000.00

3,160.08




0.65

0.65

FA
2,238.89


2/13/2013
3/28/2016
3136FRX73
FANNIE MAE AGENCY BND
 
 
 
 
6,999,930.00

7,025,345.53

7,000,000.00

6,999,957.01

25,388.52

4.30



1

1

MS
4,277.78

35,000.00

8/31/2011
9/9/2015
3137EACH0
FHLMC AGENCY BND
 
 
 
 
8,563,258.24

8,387,519.52

8,000,000.00

8,322,114.24

65,405.28

(42,471.15
)


2.875

0.691

FA
33,222.22

115,000.00

11/2/2011
2/9/2015
3137EACV9
FHLMC AGENCY BND
 
 
 
 
5,068,250.00

5,053,450.00

5,000,000.00

5,031,750.07

21,699.93

(5,519.50
)


1

0.547

FA
4,722.22

25,000.00

8/9/2011
8/27/2014



3137EACX5
FHLMC AGENCY AGENCY BND
 
 
 
 
7,975,120.00

8,009,359.20

8,000,000.00

7,992,578.56

16,780.64

3,158.25



0.375

0.536

AO
12,583.33


11/17/2011
10/30/2013
3137EACY3
FHLMC AGENCY BND
 
 
 
 
17,056,310.00

17,132,939.66

17,000,000.00

17,035,118.57

97,821.09

(5,266.88
)


0.75

0.624

MN
44,625.00


4/4/2012
11/25/2014
3137EADP1
FHLMC UNSECURED AGENCY BND
 
 
 
 
14,877,000.00

14,976,450.30

15,000,000.00

14,880,616.85

95,833.45

3,616.85



0.875

1.041

MS
8,750.00

11,302.09

2/1/2013
3/7/2018
3137EADQ9
FHLMC AGENCY BND
 
 
 
 
5,276,683.38

5,284,651.49

5,277,000.00

5,276,690.19

7,961.30

6.81



0.5

0.502

MN
1,978.88


3/6/2013
5/13/2016
31398AU34
FNMA AGENCY BND
 
 
 
 
5,234,460.00

5,495,227.76

5,250,000.00

5,242,673.52

252,554.24

756.44



2.375

2.437

JJ
21,820.31

62,343.75

6/10/2010
7/28/2015
452227FG1
ILLINOIS ST SALES TAX REV MUNITAX BND
 
 
 
 
4,100,000.00

4,161,992.00

4,100,000.00

4,100,000.00

61,992.00




1.56

1.56

JD
18,832.67


5/10/2012
6/15/2017
57583PEM7
MASSACHUSETTS ST MUNITAX BND REV
 
 
 
 
4,625,000.00

4,913,368.75

4,625,000.00

4,625,000.00

288,368.75




2.983

2.983

JD
40,622.66


12/15/2010
12/15/2015
83714RAX1
SOUTH CAROLINA STUDENT LN MUNI BND REV
 
 
 
 
1,252,602.61

1,266,667.22

1,266,654.55

1,262,769.14

3,898.08

2,093.55



0.387

1.13

MJSD
422.22

1,525.51

3/30/2011
12/3/2018
882117V27
TEXAS A & M UNIVERSITY MUNITAX BND REV
 
 
 
 
1,000,000.00

1,001,880.00

1,000,000.00

1,000,000.00

1,880.00




1.239

1.239

JJ
3,097.50

5,609.92

6/26/2012
7/1/2016
91412GFC4
UNIVERSITY CALIF REVS MUNI BND REV
 
 
 
 
1,300,000.00

1,302,470.00

1,300,000.00

1,300,000.00

2,470.00




0.887

0.887

JJ
2,843.26

5,893.62

7/20/2011
7/1/2013
914455KX7
UNIVERSITY MICH UNIV REVS MUNITAX BND
 
 
 
 
3,500,000.00

3,576,265.00

3,500,000.00

3,500,000.00

76,265.00




1.754

1.754

AO
30,695.00


10/28/2010
4/1/2015
914713G63
UNIVERSITY N C CHAPEL HILL MUNITAX BND
 
 
 
 
1,000,000.00

1,006,180.00

1,000,000.00

1,000,000.00

6,180.00




1.225

1.225

JD
4,083.33


6/28/2012
12/1/2016
30250GAA6
SSGN_10-S1 CMO_10-S1-1A 144A
 
 
 
 
697,080.76

698,391.28

697,080.76

697,080.76

1,310.52




0.754

0.755

MON
43.78

1,346.94

3/5/2010
2/25/2048
3128JLHB8
FREDDIE MAC GOLD POOL # 1B1225
 
 
 
 
65,390.17

70,938.35

66,406.17

65,439.67

5,498.68

15.67



2.875

3.186

MON
159.10

480.37

4/2/2007
9/1/2033
3128JMW45
FREDDIE MAC GOLD POOL # 1B2566
 
 
 
 
74,922.00

78,901.80

75,510.98

74,945.00

3,956.80

78.05



2.976

3.079

MON
187.27

598.02

4/2/2007
11/1/2034
3128JMXM4
FREDDIE MAC GOLD POOL # 1B2583
 
 
 
 
1,530,100.07

1,598,759.81

1,547,087.11

1,530,968.84

67,790.97

296.23



2.955

3.133

MON
3,809.70

11,499.70

9/17/2008
10/1/2034
3128JMY68
FREDDIE MAC GOLD POOL # 1B2632
 
 
 
 
97,379.49

106,773.19

98,145.03

97,409.48

9,363.71

87.35



2.902

3.007

MON
237.35

784.15

4/3/2007
11/1/2034
3128JMZG5
FREDDIE MAC GOLD POOL # 1B2642
 
 
 
 
149,331.39

160,478.38

150,505.38

149,375.51

11,102.87

75.32



2.912

3.02

MON
365.23

1,121.70

4/2/2007
11/1/2034
3128JNAL9
FREDDIE MAC GOLD POOL # 1B2810
 
 
 
 
167,924.97

182,564.09

169,672.58

168,003.01

14,561.08

62.72



2.779

2.944

MON
392.93

1,225.25

4/2/2007
2/1/2035
3128JR6Z4
FREDDIE MAC GOLD POOL # 848088
 
 
 
 
7,813,999.05

7,927,934.31

7,436,370.86

7,800,003.06

127,931.25

(19,431.67
)


2.412

1.367

MON
14,947.11

45,794.78

3/8/2011
4/1/2035
3128JRJS6
FREDDIE MAC GOLD POOL # 847473
 
 
 
 
1,865,568.89

1,969,272.76

1,873,178.69

1,865,719.32

103,553.44

262.33



2.369

2.403

MON
3,697.97

11,342.89

9/26/2007
12/1/2035
3128JRKQ8
FREDDIE MAC GOLD POOL # 847503
 
 
 
 
887,391.09

967,166.38

908,615.80

888,508.57

78,657.81

1,450.29



2.773

3.259

MON
2,099.66

6,606.25

5/31/2006
12/1/2035
3128JRP26
FREDDIE MAC GOLD POOL # 847641
 
 
 
 
527,838.24

568,041.45

532,094.99

528,024.99

40,016.46

65.40



2.689

2.811

MON
1,192.34

3,603.62

2/22/2012
12/1/2033
3128JRPZ3
FREDDIE MAC GOLD POOL # 847640
 
 
 
 
337,406.74

365,256.76

339,255.68

337,460.18

27,796.58

76.25



2.748

2.803

MON
776.90

2,503.63

11/13/2006
5/1/2036
3128KW5Q2
FHLMC GOLD POOL # A66255
 
 
 
 
829,476.59

910,963.49

820,058.73

829,009.18

81,954.31

(4,353.99
)


6

5.692

MON
4,100.29

16,287.00

11/2/2007
9/1/2037
3128KWBZ5
FHLMC GOLD POOL # A65456
 
 
 
 
16,733.80

18,020.80

16,104.72

16,709.31

1,311.49

(84.66
)


6

4.932

MON
80.52

263.27

2/4/2009
9/1/2037
3128KWFX6
FHLMC GOLD POOL # A65582
 
 
 
 
40,448.21

43,559.07

38,927.60

40,388.60

3,170.47

(17.58
)


6

4.959

MON
194.64

587.54

2/4/2009
9/1/2037
3128KWFY4
FHLMC GOLD POOL # A65583
 
 
 
 
46,744.29

50,339.40

44,987.00

46,674.77

3,664.63

(266.54
)


6

4.981

MON
224.94

749.71

2/4/2009
9/1/2037
3128KWNV1
FHLMC GOLD POOL # A65804
 
 
 
 
1,435,435.89

1,581,773.36

1,419,137.99

1,434,652.06

147,121.30

(3,392.73
)


6

5.674

MON
7,095.69

25,397.72

11/2/2007
9/1/2037
3128KWNX7
FHLMC GOLD POOL # A65806
 
 
 
 
1,792,807.20

1,975,577.38

1,772,451.72

1,791,837.07

183,740.31

(2,247.78
)


6

5.675

MON
8,862.26

28,084.07

11/2/2007
9/1/2037
3128KWT29
FHLMC GOLD POOL # A65969
 
 
 
 
30,343.02

32,676.69

29,202.30

30,298.64

2,378.05

(108.54
)


6

4.945

MON
146.01

466.84

2/4/2009
9/1/2037
3128KWTK9
FHLMC GOLD POOL # A65954
 
 
 
 
46,072.91

49,616.36

44,340.84

46,005.20

3,611.16

(127.52
)


6

4.968

MON
221.70

704.33

2/4/2009
9/1/2037
3128KWTP8
FHLMC GOLD POOL # A65958
 
 
 
 
39,323.74

42,348.14

37,845.42

39,267.38

3,080.76

(94.77
)


6

4.912

MON
189.23

585.95

2/4/2009
9/1/2037
3128KWTZ6
FHLMC GOLD POOL # A65968
 
 
 
 
34,702.49

37,371.45

33,397.89

34,651.79

2,719.66

(51.16
)


6

4.935

MON
166.99

519.04

2/4/2009
9/1/2037



3128KYXE4
FHLMC GOLD POOL # A67877
 
 
 
 
26,465.68

28,501.17

25,470.75

26,424.86

2,076.31

(61.91
)


6

4.981

MON
127.35

397.66

2/4/2009
4/1/2037
3128M4HY2
FHLMC GOLD POOL # G02647
 
 
 
 
1,093,818.54

1,199,068.85

1,108,892.56

1,094,302.37

104,766.48

2,627.99



5.5

6.037

MON
5,082.42

17,113.91

4/9/2007
2/1/2037
3128M4ZG1
FHLMC GOLD POOL # G03143
 
 
 
 
4,508.72

4,855.45

4,339.19

4,502.02

353.43

(9.73
)


6

4.939

MON
21.70

67.52

2/4/2009
7/1/2037
3128M5HK9
FHLMC GOLD POOL # G03534
 
 
 
 
8,333,547.34

9,085,479.11

8,109,275.16

8,323,830.26

761,648.85

(21,114.61
)


6.5

5.712

MON
43,925.24

140,886.22

11/6/2007
10/1/2037
3128M6UB2
FHLMC GOLD POOL # G04778
 
 
 
 
106,063.51

114,220.83

102,076.16

105,908.62

8,312.21

(286.24
)


6

5.03

MON
510.38

1,602.96

2/4/2009
7/1/2038
3128M7AZ9
FHLMC GOLD POOL # G05124
 
 
 
 
292,393.57

314,881.49

281,401.34

291,976.48

22,905.01

(807.00
)


6

5.047

MON
1,407.01

4,429.42

2/4/2009
12/1/2038
3128MBBR7
FHLMC GOLD POOL # G12548
 
 
 
 
935,485.09

1,009,608.92

933,443.20

934,718.99

74,889.93

(277.83
)


5.5

5.402

MON
4,278.28

13,863.23

3/30/2007
1/1/2022
3128MCRQ0
FHLMC GOLD POOL # G13895
 
 
 
 
3,671,976.01

3,643,781.83

3,410,834.04

3,637,942.55

5,839.28

(33,329.78
)


5

2.138

MON
14,211.81

45,667.82

11/10/2011
11/1/2019
3128MDM91
FHLMC GOLD POOL # G14684
 
 
 
 
2,493,587.23

2,485,557.63

2,371,140.07

2,491,803.59

(6,245.96
)
(3,273.98
)


3

1.949

MON
5,927.85

2,400.00

2/13/2013
2/1/2023
3128MDNM1
FHLMC GOLD POOL # G14696
 
 
 
 
1,604,625.85

1,581,850.95

1,445,202.00

1,601,901.98

(20,051.03
)
(2,723.87
)


6

1.813

MON
7,226.01

(3,131.27
)
3/1/2013
3/1/2024
3128MJQ37
FHLMC GOLD POOL # G08473
 
 
 
 
1,047,225.60

1,065,409.42

1,011,964.94

1,046,439.48

18,969.94

(2,997.15
)


3.5

2.522

MON
2,951.56

9,359.70

2/3/2012
1/1/2042
3128MTB72
FHLMC GOLD POOL # H00962
 
 
 
 
157,184.27

169,636.17

154,161.28

157,060.92

12,575.25

(407.88
)


6.5

5.781

MON
835.04

2,690.58

10/31/2007
7/1/2037
3128MTEE4
FHLMC GOLD POOL # H01033
 
 
 
 
2,984,815.11

3,221,267.26

2,927,410.41

2,982,409.46

238,857.80

(13,614.58
)


6.5

5.839

MON
15,856.81

53,582.38

10/31/2007
7/1/2037
3128MTF29
FHLMC GOLD POOL # H01085
 
 
 
 
530,430.85

572,450.71

520,229.47

529,985.70

42,465.01

(1,917.57
)


6.5

5.898

MON
2,817.91

9,542.08

10/31/2007
7/1/2037
3128NCB37
FREDDIE MAC GOLD POOL # 1G0058
 
 
 
 
214,387.41

224,432.23

214,891.07

214,374.27

10,057.96

20.00



2.73

2.725

MON
488.88

1,541.44

9/17/2008
1/1/2035
3128NCD68
FREDDIE MAC GOLD POOL # 1G0125
 
 
 
 
1,886,825.07

2,051,237.21

1,927,175.30

1,889,763.66

161,473.55

3,577.35



2.668

3.026

MON
4,284.75

13,888.27

12/13/2005
3/1/2035
3128NCMS0
FREDDIE MAC GOLD POOL # 1G0369
 
 
 
 
296,088.74

306,531.57

294,615.67

295,937.26

10,594.31

(320.60
)


2.735

2.593

MON
671.48

2,447.47

8/27/2008
10/1/2035
3128PV4J6
FHLMC GOLD POOL # J16225
 
 
 
 
2,600,932.68

2,667,635.82

2,462,057.26

2,592,971.38

74,664.44

(8,597.72
)


4

2.373

MON
8,206.86

25,395.66

8/2/2011
8/1/2026
3128PVWH9
FHLMC GOLD POOL # J16048
 
 
 
 
7,796,300.88

7,996,243.70

7,380,021.56

7,771,746.58

224,497.12

(21,745.31
)


4

2.406

MON
24,600.08

75,718.02

8/2/2011
7/1/2026
3128QJ3B0
FREDDIE MAC GOLD POOL # 1G1694
 
 
 
 
1,435,922.29

1,535,179.05

1,457,500.12

1,436,853.38

98,325.67

2,077.12



2.75

3.005

MON
3,340.10

10,415.22

8/10/2007
4/1/2037
3128QJLG9
FREDDIE MAC GOLD POOL # 1G1227
 
 
 
 
238,779.69

247,220.14

234,097.76

238,458.95

8,761.19

(333.86
)


2.947

2.495

MON
574.91

1,796.49

1/4/2008
10/1/2036
3128QJRN8
FREDDIE MAC GOLD POOL # 1G1393
 
 
 
 
1,623,795.50

1,613,448.77

1,558,586.52

1,621,923.48

(8,474.71
)
(2,380.17
)


2.853

1.9

MON
3,705.54

11,462.00

3/9/2012
12/1/2036
312929CM2
FHLMC GOLD POOL # A82776
 
 
 
 
11,941.51

12,859.92

11,492.57

11,925.66

934.26

(52.05
)


6

4.914

MON
57.46

185.95

2/4/2009
1/1/2039
31292KJH1
FHLMC GOLD POOL # C02964
 
 
 
 
2,140.27

2,304.87

2,059.80

2,137.16

167.71

(4.87
)


6

4.895

MON
10.30

32.28

2/4/2009
7/1/2037
312930LH1
FHLMC GOLD POOL # A83928
 
 
 
 
21,989.36

23,680.56

21,162.70

21,956.26

1,724.30

(192.51
)


6

5.134

MON
105.81

369.74

2/4/2009
1/1/2039
312930LQ1
FHLMC GOLD POOL # A83935
 
 
 
 
52,303.06

56,325.67

50,336.78

52,224.15

4,101.52

(167.54
)


6

5.144

MON
251.68

795.85

2/4/2009
1/1/2039
312930RC6
FHLMC GOLD POOL # A84083
 
 
 
 
31,598.11

34,028.32

30,410.22

31,545.10

2,483.22

(20.21
)


6

5.237

MON
152.05

460.52

2/4/2009
1/1/2039
312930RV4
FHLMC GOLD POOL # A84100
 
 
 
 
13,010.00

14,010.62

12,520.92

12,990.93

1,019.69

(3.28
)


6

5.091

MON
62.60

188.31

2/4/2009
1/1/2039
312930TB6
FHLMC GOLD POOL # A84146
 
 
 
 
15,826.91

17,044.17

15,231.93

15,805.24

1,238.93

(54.63
)


6

4.994

MON
76.16

235.87

2/4/2009
1/1/2039
31295NXK9
FREDDIE MAC GOLD POOL # 789682
 
 
 
 
36,987.21

39,145.21

37,200.84

36,996.03

2,149.18

2.93



2.401

2.478

MON
74.43

224.85

8/10/2006
9/1/2032
31306YAL5
FHLMC GOLD POOL # J20911
 
 
 
 
2,220,420.79

2,241,851.78

2,110,760.21

2,218,707.59

23,144.19

(2,648.48
)


3

1.363

MON
5,276.90

2,128.77

2/13/2013
10/1/2022
3132GLQP2
FHLMC GOLD POOL # Q05262
 
 
 
 
4,262,732.86

4,334,055.27

4,119,204.33

4,259,560.63

74,494.64

(8,224.27
)


3.5

2.543

MON
12,014.35

37,442.99

2/3/2012
12/1/2041
3133TJP56
FHLMC CMO AGENCY CMO_2130 QS
 
 
 
 
1,299,637.65

1,442,451.59

1,281,614.94

1,296,953.04

145,498.55

(1,663.09
)


6

5.605

MON
6,408.07

19,984.86

2/6/2007
3/15/2029
31342A6F1
FREDDIE MAC GOLD POOL # 780870
 
 
 
 
345,493.62

372,228.89

350,861.81

345,790.62

26,438.27

277.58



2.408

2.709

MON
704.06

2,178.34

2/22/2012
9/1/2033



31342AZE2
FREDDIE MAC GOLD POOL # 780741
 
 
 
 
516,872.54

535,424.53

500,982.02

516,069.70

19,354.83

(560.78
)


2.375

1.554

MON
991.53

3,034.71

11/16/2009
7/1/2033
31349SJK0
FREDDIE MAC GOLD POOL # 781166
 
 
 
 
748,269.30

809,498.44

760,659.74

749,090.99

60,407.45

266.65



2.432

2.736

MON
1,541.60

4,557.76

1/9/2006
1/1/2034
31349UCW6
FREDDIE MAC GOLD POOL # 782785
 
 
 
 
154,615.16

163,894.87

155,830.68

154,668.53

9,226.34

52.27



2.279

2.399

MON
295.95

916.32

4/2/2007
10/1/2034
31349UEJ3
FREDDIE MAC GOLD POOL # 782837
 
 
 
 
289,183.66

305,709.91

291,457.03

289,286.99

16,422.92

175.66



2.379

2.491

MON
577.81

1,818.67

4/2/2007
11/1/2034
31349UJL3
FHLMC GOLD POOL # 782967
 
 
 
 
97,567.82

105,445.67

99,037.92

97,647.74

7,797.93

85.50



2.459

2.711

MON
202.95

617.56

9/30/2008
1/1/2035
31349ULB2
FREDDIE MAC GOLD POOL # 783022
 
 
 
 
287,500.48

306,770.97

290,067.57

287,625.16

19,145.81

172.58



2.4

2.531

MON
580.14

1,807.92

4/2/2007
2/1/2035
3136A7QW5
FNMA_12-86 AGENCY CMO 12-86
 
 
 
 
1,506,615.24

1,506,691.92

1,488,934.15

1,501,229.34

5,462.58

(8,613.83
)


2

0.919

MON
2,481.56

9,888.23

9/6/2012
3/25/2041
31371NAC9
FANNIE MAE POOL # 256603
 
 
 
 
596,807.96

647,885.43

596,248.97

596,388.38

51,497.05

(87.55
)


5.5

5.387

MON
2,732.81

8,912.64

7/17/2008
2/1/2022
31371NE35
FANNIE MAE POOL # 256754
 
 
 
 
237,651.75

243,615.96

224,199.77

235,812.08

7,803.88

(1,353.69
)


5.5

3.235

MON
1,027.58

3,245.92

9/29/2009
6/1/2022
3137A63Z3
FHLMC_3792 AGENCY CMO 3792
 
 
 
 
4,562,473.02

4,541,852.33

4,531,320.18

4,560,987.90

(19,135.57
)
(2,962.05
)


0.603

0.424

MON
1,214.79

7,104.41

11/9/2012
11/15/2040
3137A7SR2
FHLMC CMO_3824 FA
 
 
 
 
5,268,145.39

5,259,537.24

5,267,733.84

5,268,135.02

(8,597.78
)
(29.37
)


0.353

0.349

MON
826.92

3,087.21

2/20/2013
3/15/2026
3137ACKA6
FHLMC_3876 AGENCY CMO 3876
 
 
 
 
870,025.92

864,673.92

835,433.74

866,133.98

(1,460.06
)
(4,994.77
)


2.75

0.868

MON
1,914.54

6,161.63

10/1/2012
6/15/2026
31385W2S7
FANNIE MAE POOL # 555285
 
 
 
 
2,708,083.42

2,721,970.84

2,457,704.76

2,699,141.19

22,829.65

(24,119.35
)


6

2.895

MON
12,288.52

39,180.65

1/5/2011
3/1/2033
31385XAZ0
FANNIE MAE POOL # 555424
 
 
 
 
3,254,338.30

3,284,543.49

2,989,702.88

3,247,476.35

37,067.14

(34,599.37
)


5.5

2.439

MON
13,702.80

44,661.50

1/25/2012
5/1/2033
31385XEW3
FANNIE MAE POOL # 555549
 
 
 
 
164,824.41

178,988.83

166,174.58

165,095.22

13,893.61

169.96



5

5.222

MON
692.40

2,247.02

12/14/2007
6/1/2018
31385XK48
FANNIE MAE POOL # 555715
 
 
 
 
99,153.03

106,087.58

100,038.35

99,203.07

6,884.51

41.02



2.363

2.551

MON
196.99

602.04

4/2/2007
7/1/2033
3138A9YZ1
FANNIE MAE POOL # AH7927
 
 
 
 
2,608,365.63

2,671,125.59

2,519,779.63

2,604,189.43

66,936.16

(13,044.61
)


3.5

2.066

MON
7,349.36

23,987.33

8/3/2011
8/1/2026
3138ATD31
FANNIE MAE POOL# AJ1921
 
 
 
 
648,070.61

655,013.08

607,314.14

647,532.22

7,480.86

(1,804.44
)


4.5

2.237

MON
2,277.43

7,050.39

9/20/2011
9/1/2041
3138E9KT6
FANNIE MAE POOL # AK4805
 
 
 
 
147,405.88

148,655.65

141,311.81

147,207.64

1,448.01

(129.03
)


3

1.533

MON
353.28

1,070.87

4/24/2012
3/1/2027
3138E9L40
FANNIE MAE POOL # AK4846
 
 
 
 
2,971,259.53

2,996,451.16

2,848,421.35

2,967,277.22

29,173.94

(6,345.45
)


3

1.576

MON
7,121.05

22,063.19

4/24/2012
5/1/2027
3138EBG33
FANNIE MAE POOL#AK6517
 
 
 
 
1,628,153.97

1,650,203.91

1,557,576.30

1,625,381.68

24,822.23

(3,166.79
)


3

1.881

MON
3,893.94

11,998.24

4/24/2012
3/1/2027
3138EGHT4
FANNIE MAE POOL # AL0241
 
 
 
 
5,327,286.42

5,362,837.68

4,992,259.04

5,326,024.50

36,813.18

(1,261.92
)


4

3.457

MON
16,640.87

(1,664.09
)
2/27/2013
4/1/2041
3138EH3F7
FANNIE MAE POOL # AL1697
 
 
 
 
3,779,945.92

3,776,665.07

3,544,564.67

3,779,945.92

(3,280.85
)



4

3.467

MON
3,938.41

(3,938.41
)
3/22/2013
10/1/2041
3138EJPG7
FANNIE MAE POOL # AL2222
 
 
 
 
989,418.15

982,211.53

933,688.60

987,770.41

(5,558.88
)
(2,178.88
)


3

1.508

MON
2,334.22

7,140.71

8/7/2012
8/1/2027
3138LURE7
FANNIE MAE POOL # AO4084
 
 
 
 
1,901,842.61

1,901,592.62

1,790,496.13

1,901,082.97

509.65

(14,000.23
)


3.5

1.733

MON
5,222.28

6,044.59

1/24/2013
5/1/2027
3138M8HY2
FANNIE MAE POOL # AP4746
 
 
 
 
2,637,389.16

2,648,561.37

2,499,894.94

2,636,769.97

11,791.40

(619.19
)


3

2.202

MON
6,249.74

(3,541.52
)
3/13/2013
8/1/2027
3138M8YB3
FANNIE MAE POOL # AP5205
 
 
 
 
6,617,440.15

6,622,720.63

6,380,177.30

6,611,806.91

10,913.72

(16,436.05
)


2.5

1.352

MON
13,292.04

41,657.76

9/6/2012
9/1/2027
3138MCU77
FANNIE MAE POOL # AP8705
 
 
 
 
1,184,238.28

1,188,119.63

1,125,000.00

1,184,143.56

3,976.07

(94.72
)


3.5

3.102

MON
3,281.25

(1,968.75
)
3/14/2013
3/1/2043
3138MRLL3
FANNIE MAE POOL # AQ9330
 
 
 
 
3,132,381.35

3,134,969.71

2,968,422.39

3,131,985.45

2,984.26

(1,532.77
)


3.5

2.135

MON
8,657.90

871.79

2/25/2013
1/1/2043
31393RDQ0
FHLMC CMO_2613 BV
 
 
 
 
865,420.04

843,003.63

825,745.55

840,909.44

2,094.19

(11,015.94
)


5

1.114

MON
3,440.61

14,654.61

2/24/2011
7/15/2032
31394BPP3
FNMA AGENCY CMO_04-88 HA
 
 
 
 
17,961.53

18,368.05

17,369.88

17,584.80

783.25

(63.08
)


6.5

5.194

MON
94.09

314.19

1/14/2008
7/25/2034
31394DA42
FNMA CMO_05-48 AR
 
 
 
 
138,286.44

150,236.26

137,299.60

137,827.46

12,408.80

(76.18
)


5.5

5.252

MON
629.29

1,998.57

12/20/2007
2/25/2035
31394EZX9
FNMA CMO_05-65 WL
 
 
 
 
4,023,733.79

4,030,933.27

3,865,490.28

4,004,276.03

26,657.24

(43,611.45
)


5.5

1.666

MON
17,716.84

60,363.99

11/16/2012
7/25/2034
31395CQZ7
FHLMC_2825 AGENCY CMO 2825
 
 
 
 
797,255.79

785,544.52

773,917.34

788,237.11

(2,692.59
)
(10,803.15
)


5.5

2.122

MON
3,547.12

14,369.01

6/25/2012
9/15/2032



31395EC47
FHLMC CMO_2839 TS
 
 
 
 
1,767,103.13

1,760,848.39

1,644,773.13

1,764,225.54

(3,377.15
)
(2,877.59
)


5

1.572

MON
6,853.22

(2,512.85
)
3/7/2013
8/15/2019
31396CLF5
FHLMC AGENCY CMO_3054 DW
 
 
 
 
51,471.83

54,010.23

51,665.58

51,516.51

2,493.72

42.66



5.5

5.652

MON
236.80

830.97

6/17/2008
5/15/2034
31396L5J5
FNMA CMO_06-129 FA
 
 
 
 
685,746.82

682,864.26

686,175.68

685,904.80

(3,040.54
)
85.37



0.404

0.436

MON
46.23

796.20

3/23/2011
1/25/2037
31396UWM8
FHLMC AGENCY CMO 3184 FA
 
 
 
 
951,139.51

951,885.77

952,180.95

951,684.74

201.03

157.61



0.353

0.413

MON
149.47

992.91

4/23/2010
2/15/2033
31397G7M6
FHLMC CMO_R011 AB
 
 
 
 
226,807.68

226,188.07

224,910.00

224,690.46

1,497.61

(208.74
)


5.5

4.803

MON
1,030.84

6,361.23

9/4/2008
12/15/2020
31397JAB0
FHLMC_3346A AGNECY CMO_3335-AF
 
 
 
 
394,465.54

394,485.21

394,434.72

394,460.11

25.10

(4.24
)


0.353

0.35

MON
61.92

373.30

7/22/2011
10/15/2020
31397JRY2
FHLMC_3345 AGENCY CMO 3345
 
 
 
 
3,106,988.40

3,107,947.52

3,106,503.00

3,106,983.42

964.10

(46.31
)


0.403

0.389

MON
556.68

375.68

2/28/2013
11/15/2036
31397MTX5
FNMA CMO_08-81 KA
 
 
 
 
1,364,433.18

1,422,707.76

1,369,139.58

1,364,515.15

58,192.61

877.89



5

5.057

MON
5,704.75

19,244.55

7/29/2008
10/25/2022
31397Y5H0
FHLMC CMO_3484 DA
 
 
 
 
1,281,125.92

1,269,189.77

1,231,481.80

1,251,577.79

17,611.98

(6,137.01
)


5

2.893

MON
5,131.18

17,753.17

6/1/2009
9/15/2022
31398T6X4
FNMA CMO 10-113 FA
 
 
 
 
2,556,862.46

2,577,687.70

2,562,869.19

2,557,655.84

20,031.86

572.92



0.604

0.676

MON
258.08

4,236.46

8/10/2011
10/25/2040
31398TX22
FNMA_10-87 AGENCY CMO_10-103 MA
 
 
 
 
3,012,024.57

2,945,086.28

2,864,332.44

2,911,014.51

34,071.77

(27,036.90
)


4

(0.032
)
MON
9,547.77

43,283.19

9/7/2011
3/25/2030
31400EGH7
FANNIE MAE POOL # 685200
 
 
 
 
154,086.89

167,328.53

155,349.07

154,347.22

12,981.31

146.70



5

5.227

MON
647.29

2,083.88

12/14/2007
3/1/2018
31400PG58
FANNIE MAE POOL # 693320
 
 
 
 
60,132.34

64,165.87

60,660.76

60,168.13

3,997.74

8.73



2.392

2.573

MON
120.92

359.22

8/10/2006
1/1/2033
31400QJ87
FANNIE MAE POOL # 694287
 
 
 
 
10,058.95

10,871.22

10,148.77

10,064.32

806.90

1.74



2.403

2.586

MON
20.32

68.82

4/2/2007
3/1/2033
31400SA33
FANNIE MAE POOL # 695826
 
 
 
 
77,968.80

84,669.16

78,607.49

78,096.74

6,572.42

51.25



5

5.23

MON
327.53

1,024.93

12/14/2007
4/1/2018
31401A3C9
FANNIE MAE POOL # 702895
 
 
 
 
163,733.07

177,803.73

165,074.32

164,015.49

13,788.24

136.74



5

5.219

MON
687.81

2,186.67

12/14/2007
4/1/2018
31401DVW8
FANNIE MAE POOL # 705429
 
 
 
 
135,177.28

143,868.36

136,753.16

135,282.51

8,585.85

23.95



2.341

2.601

MON
266.78

803.68

8/10/2006
4/1/2033
31401MKS9
FANNIE MAE POOL # 712305
 
 
 
 
1,079,884.84

1,083,666.12

1,013,976.37

1,078,470.47

5,195.65

(3,624.49
)


2.925

1.28

MON
2,471.57

7,628.04

2/23/2012
5/1/2033
31402DQB9
FANNIE MAE POOL # 725950
 
 
 
 
243,286.36

264,507.89

245,511.30

243,642.88

20,865.01

256.55



5

5.25

MON
1,022.96

3,292.61

7/17/2008
11/1/2019
31402HD32
FANNIE MAE POOL # 729222
 
 
 
 
1,305,494.97

1,376,482.61

1,319,926.46

1,306,521.63

69,960.98

1,903.15



2.33

2.526

MON
2,562.86

8,278.18

9/17/2008
7/1/2035
31402RB81
FANNIE MAE POOL # 735463
 
 
 
 
101,047.46

108,954.31

101,883.25

101,106.44

7,847.87

14.91



2.539

2.679

MON
215.57

706.07

9/28/2006
3/1/2035
31402RF87
FANNIE MAE POOL # 735591
 
 
 
 
6,114,095.93

6,387,451.80

5,891,357.76

6,106,296.25

281,155.55

(30,615.79
)


5

3.486

MON
24,547.32

80,361.54

4/30/2010
6/1/2035
31402YSV7
FANNIE MAE POOL # 742232
 
 
 
 
12,277.98

13,378.25

12,468.75

12,288.26

1,089.99

3.04



2.75

3.12

MON
28.57

93.43

4/2/2007
9/1/2033
31403C2L4
FANNIE MAE POOL # 745179
 
 
 
 
560,006.39

608,131.35

564,593.73

560,804.43

47,326.92

557.02



5

5.218

MON
2,352.48

7,571.32

12/14/2007
4/1/2019
31403DCE7
FANNIE MAE POOL # 745369
 
 
 
 
413,779.16

449,447.30

417,168.61

414,341.92

35,105.38

330.81



5

5.203

MON
1,738.20

5,525.23

12/14/2007
12/1/2019
31403DCZ0
FANNIE MAE POOL # 745388
 
 
 
 
1,023,578.50

1,111,541.15

1,031,963.18

1,025,167.85

86,373.30

1,005.32



5

5.217

MON
4,299.85

13,873.23

12/14/2007
11/1/2018
31403H3P3
FANNIE MAE POOL # 749706
 
 
 
 
693,546.84

751,373.51

702,270.36

694,095.75

57,277.76

135.67



2.844

3.112

MON
1,664.38

5,021.78

5/15/2006
11/1/2033
31403KDB6
FANNIE MAE POOL # 750798
 
 
 
 
5,184.61

5,475.13

5,265.16

5,189.00

286.13

1.11



2.55

2.914

MON
11.19

33.75

4/2/2007
12/1/2033
31403VBR9
FANNIE MAE POOL # 758848
 
 
 
 
209,007.12

226,968.46

210,719.23

209,306.72

17,661.74

189.44



5

5.227

MON
878.00

2,788.21

12/14/2007
1/1/2019
31404CLB4
FANNIE MAE POOL # 764522
 
 
 
 
26,054.55

28,309.87

26,582.04

26,086.74

2,223.13

78.45



2.397

2.821

MON
53.10

167.73

9/30/2008
6/1/2034
31404LRF9
FANNIE MAE POOL # 771886
 
 
 
 
82,724.18

87,912.31

84,107.37

82,805.89

5,106.42

190.11



2.58

2.994

MON
180.83

622.09

8/10/2006
2/1/2034
31404NBP0
FANNIE MAE POOL # 773246
 
 
 
 
113,878.75

121,620.51

114,831.84

113,933.45

7,687.06

40.01



2.506

2.656

MON
239.81

750.83

4/2/2007
2/1/2035
31404VGA0
FANNIE MAE POOL # 779693
 
 
 
 
591,817.93

637,300.20

597,418.71

592,220.99

45,079.21

120.84



2.632

2.798

MON
1,310.34

3,953.78

2/24/2006
7/1/2034
31405PAG5
FANNIE MAE POOL # 794807
 
 
 
 
150,512.55

160,194.92

150,102.79

150,467.07

9,727.85

(27.44
)


2.575

2.495

MON
322.09

1,004.97

6/30/2007
10/1/2034



31405UMM8
FANNIE MAE POOL # 799664
 
 
 
 
56,500.90

61,026.34

56,945.08

56,526.19

4,500.15

7.18



2.622

2.762

MON
124.42

375.56

4/2/2007
10/1/2034
31405UR84
FANNIE MAE POOL # 799811
 
 
 
 
203,260.25

214,982.89

202,729.11

203,198.67

11,784.22

(12.88
)


2.339

2.267

MON
395.15

1,192.35

6/30/2007
11/1/2034
31405UTZ2
FANNIE MAE POOL # 799868
 
 
 
 
14,434.31

15,457.06

14,547.75

14,440.32

1,016.74

1.97



2.529

2.678

MON
30.66

92.66

4/2/2007
11/1/2034
31406BB90
FANNIE MAE POOL # 804764
 
 
 
 
176,660.70

191,039.71

178,049.49

176,737.76

14,301.95

42.34



2.491

2.634

MON
369.60

1,123.05

4/2/2007
1/1/2035
31406BEZ9
FANNIE MAE POOL # 804852
 
 
 
 
153,405.11

165,723.11

154,611.09

153,471.28

12,251.83

66.05



2.519

2.663

MON
324.55

1,000.69

4/2/2007
12/1/2034
31406BJF8
FANNIE MAE POOL # 804962
 
 
 
 
169,857.09

183,133.32

171,192.39

169,930.19

13,203.13

31.28



2.469

2.614

MON
352.23

1,082.86

4/2/2007
1/1/2035
31406BQQ6
FANNIE MAE POOL # 805163
 
 
 
 
235,219.48

254,082.09

237,188.17

235,330.70

18,751.39

65.66



2.449

2.603

MON
484.06

1,521.22

4/2/2007
1/1/2035
31406DG67
FANNIE MAE POOL # 806721
 
 
 
 
349,409.02

373,745.30

352,155.85

349,551.01

24,194.29

175.58



2.777

2.924

MON
814.95

2,567.66

4/2/2007
11/1/2034
31406GLK3
FANNIE MAE POOL # 809530
 
 
 
 
51,832.35

56,275.49

52,199.42

51,858.68

4,416.81

78.90



2.471

2.584

MON
107.49

377.96

9/28/2006
2/1/2035
31406MYP5
FANNIE MAE POOL # 814418
 
 
 
 
152,223.26

160,658.96

153,582.48

152,300.66

8,358.30

131.43



2.259

2.427

MON
289.12

1,004.93

4/2/2007
3/1/2035
31406PKU2
FANNIE MAE POOL # 815807
 
 
 
 
267,957.26

286,548.70

270,514.38

268,152.05

18,396.65

219.44



2.381

2.543

MON
536.75

1,779.80

9/28/2006
2/1/2035
31406TLC3
FANNIE MAE POOL # 819423
 
 
 
 
349,864.83

375,304.93

352,988.80

350,044.00

25,260.93

205.96



2.688

2.847

MON
790.69

2,670.86

4/2/2007
4/1/2035
31406TTE1
FANNIE MAE POOL # 819649
 
 
 
 
2,680,599.95

2,767,247.30

2,591,516.56

2,676,055.18

91,192.12

(2,508.51
)


2.39

1.669

MON
5,161.44

16,688.04

12/4/2009
3/1/2035
31406VHE9
FANNIE MAE POOL # 821129
 
 
 
 
183,864.26

196,790.64

185,505.97

183,958.94

12,831.70

132.19



2.676

2.834

MON
413.68

1,357.66

4/2/2007
5/1/2035
31407D5R2
FANNIE MAE POOL # 828056
 
 
 
 
675,741.82

709,268.90

664,420.51

674,948.63

34,320.27

(1,334.60
)


2.749

2.393

MON
1,522.07

4,907.65

2/20/2009
6/1/2035
31407E6W8
FANNIE MAE POOL # 828985
 
 
 
 
375,291.83

403,831.51

388,212.02

376,254.03

27,577.48

937.15



2.243

2.909

MON
725.63

2,286.55

3/16/2006
8/1/2035
31407GC22
FANNIE MAE POOL # 829989
 
 
 
 
1,121,074.41

1,201,180.30

1,131,728.57

1,121,660.02

79,520.28

190.13



2.732

2.927

MON
2,576.57

7,978.58

1/20/2006
4/1/2035
31408C6D3
FANNIE MAE POOL # 847868
 
 
 
 
1,307,303.40

1,399,696.30

1,321,342.65

1,308,222.59

91,473.71

864.87



2.569

2.76

MON
2,828.77

8,944.89

5/12/2006
11/1/2035
31409UBQ7
FANNIE MAE POOL # 878547
 
 
 
 
1,004,875.72

1,094,952.46

1,012,987.54

1,005,331.20

89,621.26

131.64



2.612

2.757

MON
2,204.94

7,217.23

5/4/2006
3/1/2036
31410FU60
FANNIE MAE POOL # 888105
 
 
 
 
440,869.44

478,756.18

444,480.85

441,392.12

37,364.06

461.80



5

5.207

MON
1,852.00

5,998.64

12/14/2007
8/1/2020
31410GC35
FANNIE MAE POOL # 888490
 
 
 
 
212,148.86

221,625.15

212,629.45

212,158.98

9,466.17

73.73



2.362

2.388

MON
418.53

1,439.30

6/18/2007
5/1/2035
31410GC50
FANNIE MAE POOL # 888492
 
 
 
 
106,642.99

110,709.87

106,440.37

106,618.42

4,091.45

(22.84
)


2.355

2.279

MON
208.89

663.66

6/18/2007
5/1/2033
31410GD83
FANNIE MAE POOL # 888527
 
 
 
 
29,074.73

31,928.16

29,622.40

29,107.90

2,820.26

43.18



2.456

2.862

MON
60.63

188.68

6/18/2007
4/1/2034
31410GDC4
FANNIE MAE POOL # 888499
 
 
 
 
913,090.17

966,542.10

918,220.39

913,343.69

53,198.41

260.01



2.35

2.457

MON
1,798.18

5,591.60

2/22/2012
8/1/2033
31410GDF7
FANNIE MAE POOL # 888502
 
 
 
 
116,862.96

126,373.97

118,381.97

116,965.01

9,408.96

64.71



1.962

2.23

MON
193.55

622.80

6/18/2007
6/1/2033
31410GDL4
FANNIE MAE POOL # 888507
 
 
 
 
465,546.30

494,660.52

473,695.69

466,056.09

28,604.43

677.75



2.388

2.731

MON
942.65

2,955.30

6/18/2007
2/1/2035
31410GDM2
FANNIE MAE POOL # 888508
 
 
 
 
578,126.44

621,449.65

586,209.26

578,598.12

42,851.53

583.67



2.535

2.832

MON
1,238.37

4,125.76

6/18/2007
3/1/2034
31410GDQ3
FANNIE MAE POOL # 888511
 
 
 
 
86,222.05

93,011.90

87,005.21

86,263.57

6,748.33

34.05



2.649

2.837

MON
192.06

590.87

6/18/2007
12/1/2033
31410GDS9
FANNIE MAE POOL # 888513
 
 
 
 
126,753.94

134,888.05

127,417.69

126,783.34

8,104.71

45.45



2.475

2.574

MON
262.80

821.42

6/18/2007
2/1/2034
31410GDX8
FANNIE MAE POOL # 888518
 
 
 
 
98,900.26

105,275.09

99,218.03

98,911.02

6,364.07

23.99



2.548

2.592

MON
210.67

692.75

6/18/2007
4/1/2035
31410GDY6
FANNIE MAE POOL # 888519
 
 
 
 
58,872.41

64,155.06

59,883.37

58,937.72

5,217.34

43.91



2.534

2.86

MON
126.45

387.67

6/18/2007
1/1/2035
31410GDZ3
FANNIE MAE POOL # 888520
 
 
 
 
778,099.27

830,342.88

783,058.63

778,361.01

51,981.87

415.38



2.613

2.732

MON
1,705.11

5,277.03

6/18/2007
7/1/2033
31410GFD0
FANNIE MAE POOL # 888564
 
 
 
 
7,396,374.74

7,730,533.15

7,176,591.63

7,356,998.25

373,534.90

(27,765.80
)


5

3.831

MON
29,902.47

96,185.51

2/26/2009
10/1/2021
31410GPR8
FANNIE MAE POOL # 888832
 
 
 
 
3,963,788.56

4,238,721.86

3,811,907.84

3,957,644.53

281,077.33

(18,243.91
)


6.5

5.199

MON
20,647.83

67,016.60

1/25/2008
11/1/2037



31411DA33
FANNIE MAE POOL # 904626
 
 
 
 
836,626.92

855,806.69

832,658.78

836,262.93

19,543.76

(772.13
)


2.73

2.612

MON
1,894.30

6,261.88

12/13/2006
12/1/2036
31411GUY6
FANNIE MAE POOL # 907899
 
 
 
 
1,696,117.68

1,762,147.33

1,682,187.07

1,695,054.99

67,092.34

(208.21
)


2.404

2.209

MON
3,369.98

10,113.67

12/14/2006
1/1/2037
31411KCZ4
FANNIE MAE POOL # 910088
 
 
 
 
3,453,613.70

3,788,498.91

3,421,536.80

3,452,372.42

336,126.49

(5,596.16
)


6

5.624

MON
17,107.68

56,273.24

3/29/2007
3/1/2037
31411LEA5
FANNIE MAE POOL # 911029
 
 
 
 
260,330.36

266,863.71

245,594.68

258,254.53

8,609.18

(2,754.64
)


5.5

3.332

MON
1,125.64

3,994.98

9/29/2009
7/1/2022
31411WPJ0
FANNIE MAE POOL # 916725
 
 
 
 
1,226,059.35

1,222,906.91

1,158,709.36

1,224,700.20

(1,793.29
)
(4,309.98
)


2.444

1.312

MON
2,359.90

7,369.85

2/14/2012
10/1/2036
31412LMG2
FANNIE MAE POOL # 928359
 
 
 
 
268,092.77

274,820.93

252,917.71

266,056.11

8,764.82

(1,564.56
)


5.5

3.156

MON
1,159.21

3,622.23

9/29/2009
5/1/2022
31412LQN3
FANNIE MAE POOL # 928461
 
 
 
 
339,686.19

348,211.09

320,458.67

337,158.56

11,052.53

(2,944.66
)


5.5

3.142

MON
1,468.77

4,847.89

9/29/2009
6/1/2022
31412LVF4
FANNIE MAE POOL # 928614
 
 
 
 
2,052,965.79

2,099,227.36

1,931,918.98

2,038,439.52

60,787.84

(18,847.26
)


5.5

3.004

MON
8,854.63

29,175.47

10/21/2009
8/1/2022
31412SRH0
FANNIE MAE POOL # 933488
 
 
 
 
723,087.57

741,578.29

688,859.85

718,872.17

22,706.12

(5,628.18
)


5

3.146

MON
2,870.25

9,503.07

9/29/2009
3/1/2023
31414ARA2
FANNIE MAE POOL # 960481
 
 
 
 
1,267,125.21

1,299,887.19

1,207,145.18

1,259,794.24

40,092.95

(4,976.88
)


5

3.052

MON
5,029.77

15,728.19

9/29/2009
12/1/2022
31414CRJ9
FANNIE MAE POOL # 962289
 
 
 
 
1,664,986.04

1,707,562.90

1,586,173.07

1,655,344.54

52,218.36

(9,748.81
)


5

3.134

MON
6,609.05

21,120.01

9/29/2009
3/1/2023
31414GD22
FANNIE MAE POOL # 965521
 
 
 
 
191,336.65

196,138.52

180,506.28

189,986.62

6,151.90

(1,476.30
)


5.5

3.22

MON
827.32

2,609.38

9/29/2009
12/1/2022
31414NB45
FANNIE MAE POOL # 970859
 
 
 
 
1,833,261.02

1,877,346.48

1,743,886.82

1,824,447.44

52,899.04

(9,927.57
)


5

3.005

MON
7,266.20

23,248.80

10/21/2009
12/1/2023
31414RB79
FANNIE MAE POOL # 973562
 
 
 
 
1,384,874.76

1,408,424.43

1,306,485.62

1,375,395.70

33,028.73

(6,806.86
)


5.5

3.248

MON
5,988.06

18,905.61

9/29/2009
3/1/2023
31415MDG7
FANNIE MAE POOL # 984003
 
 
 
 
2,242,711.49

2,538,815.58

2,310,213.02

2,244,618.27

294,197.31

2,136.77



5.5

6.405

MON
10,588.48

32,144.40

7/25/2008
6/1/2038
31415MFS9
FANNIE MAE POOL # 984077
 
 
 
 
999,147.53

1,024,697.63

951,852.37

993,421.76

31,275.87

(7,463.92
)


5

3.19

MON
3,966.05

13,181.58

9/29/2009
6/1/2023
31416B4M7
FANNIE MAE POOL # 995528
 
 
 
 
2,294,461.22

2,378,022.34

2,208,535.38

2,280,417.69

97,604.65

(10,174.88
)


5

3.521

MON
9,202.23

29,310.34

3/20/2009
12/1/2021
31416B4N5
FANNIE MAE POOL # 995529
 
 
 
 
3,923,156.16

4,105,737.22

3,778,510.05

3,902,496.03

203,241.19

(20,288.08
)


5.5

4.012

MON
17,318.17

56,445.79

2/27/2009
11/1/2022
31416B4P0
FANNIE MAE POOL # 995530
 
 
 
 
1,998,268.39

2,082,720.26

1,916,229.82

1,984,974.99

97,745.27

(8,946.42
)


5.5

3.863

MON
8,782.72

27,855.07

3/20/2009
12/1/2021
31416B7J1
FANNIE MAE POOL # 995597
 
 
 
 
218,679.29

224,167.38

206,301.24

217,402.43

6,764.95

(1,687.83
)


5.5

3.254

MON
945.55

3,077.29

9/29/2009
3/1/2024
31416BLV8
FANNIE MAE POOL # 995040
 
 
 
 
848,306.67

868,706.38

806,950.46

843,771.55

24,934.83

(8,230.72
)


5

3.041

MON
3,362.29

11,423.75

10/21/2009
6/1/2023
31416BSE9
FANNIE MAE POOL # 995217
 
 
 
 
1,824,779.20

1,868,969.83

1,720,012.97

1,813,992.31

54,977.52

(13,616.75
)


5.5

3.171

MON
7,883.40

25,590.13

10/21/2009
12/1/2023
31416BSX7
FANNIE MAE POOL # 995234
 
 
 
 
3,014,872.25

3,024,315.40

2,807,797.20

2,986,663.63

37,651.77

(27,551.57
)


5

2.064

MON
11,699.16

37,708.19

11/10/2011
7/1/2019
31416CME3
FANNIE MAE POOL # 995957
 
 
 
 
3,911,826.74

4,002,178.79

3,717,665.82

3,894,130.11

108,048.68

(26,353.05
)


5

3.014

MON
15,490.27

50,469.16

9/28/2009
6/1/2024
31416MZC1
FANNIE MAE POOL # AA4338
 
 
 
 
2,698,318.75

2,696,995.09

2,507,876.85

2,697,628.98

(633.89
)
(689.77
)


4.5

2.348

MON
9,404.53

(7,837.12
)
3/21/2013
4/1/2039
31416TL49
FANNIE MAE POOL # AA9346
 
 
 
 
9,246,295.96

10,043,540.58

9,147,874.89

9,242,495.04

801,045.54

(8,666.44
)


4.5

4.16

MON
34,304.53

108,952.45

2/2/2010
8/1/2039
31417BZA8
FANNIE MAE POOL # AB5236
 
 
 
 
82,523.62

83,011.90

78,910.97

82,418.71

593.19

(355.31
)


3

1.41

MON
197.28

629.71

6/6/2012
5/1/2027
31417FQC5
FANNIE MAE POOL # AB8550
 
 
 
 
2,574,586.48

2,582,574.06

2,487,992.67

2,574,202.07

8,371.99

(384.41
)


2.5

2.009

MON
5,183.32

(2,937.21
)
3/13/2013
3/1/2028
31418AMK1
FANNIE MAE POOL # MA1261
 
 
 
 
991,696.32

1,006,211.18

942,719.11

990,894.26

15,316.92

(1,428.39
)


3

1.111

MON
2,356.80

954.78

2/13/2013
11/1/2022
31419ALC9
FANNIE MAE POOL # AE0322
 
 
 
 
2,175,838.07

2,161,793.60

2,006,536.55

2,174,048.43

(12,254.83
)
(1,789.64
)


5

2.883

MON
8,360.57

(3,622.91
)
2/26/2013
5/1/2021
31419BBT1
FANNIE MAE POOL # AE0949
 
 
 
 
4,305,558.02

4,325,583.55

4,061,248.54

4,300,951.87

24,631.68

(24,854.72
)


4

1.959

MON
13,537.50

43,420.25

5/2/2012
2/1/2041
31419ESP5
FANNIE MAE POOL # AE4125
 
 
 
 





(16,203.79
)


4


MON
7,797.74

42,692.89

11/5/2010
10/1/2040
38374C3K5
GOVERNMENT NATIONAL MORTGAGE A CMO_03-85
 
 
 
 
150,988.30

142,887.79

142,536.34

143,129.32

(241.53
)
(1,891.06
)


4.5

(0.248
)
MON
534.51

3,222.91

4/26/2011
7/20/2024
62888VAB4
NCUA GUARANTEED NOTES AGENCY CMO_10-R1
 
 
 
 
420,378.47

425,293.25

420,416.42

420,391.17

4,902.08

2.97



1.84

1.85

MON
580.18

2,069.22

9/7/2011
10/7/2020



62888YAA0
NGN_11-R1 CMO_11-R1 IA
 
 
 
 
3,506,763.19

3,515,733.62

3,505,322.81

3,506,404.02

9,329.60

(202.64
)


0.653

0.643

MON
1,653.65

5,968.96

6/10/2011
1/8/2020
62889FAA0
NGN_11-R4 CMO_11R4-1A
 
 
 
 
3,339,131.74

3,346,444.44

3,339,131.74

3,339,131.74

7,312.70




0.583

0.584

MON
1,406.45

5,192.68

6/10/2011
3/6/2020
62889JAA2
NCUA GUARANTEED NOTES CMO_11-R6 1A
 
 
 
 
2,224,386.28

2,235,508.21

2,224,386.28

2,224,386.28

11,121.93




0.583

0.584

MON
936.61

3,719.21

6/10/2011
5/7/2020
10620NAC2
BRHEA_05-2 ABS_05--2 A10
 
 
 
 
4,224,000.00

4,378,017.60

4,400,000.00

4,302,464.25

75,553.35

11,245.96



0.404

1.471

MJSD
345.73

4,677.44

2/22/2012
12/26/2019
10620NCG1
BRHEA_05-2 ABS 11-1 A2
 
 
 
 
3,748,794.81

3,843,927.92

3,800,000.00

3,767,054.07

76,873.85

2,239.85



1.088

1.338

FMAN
4,019.93

10,676.58

3/10/2011
2/25/2030
3136A4ZN2
FNMA_12-M2 AGENCY CMO 12-25
 
 
 
 
392,137.74

381,974.56

380,024.47

381,931.46

43.10

(9,357.08
)


6.5

1.578

MON
2,058.46

12,966.54

2/16/2012
6/25/2030
31398WV35
FHLMC_3629 AGENCY CMO 3654
 
 
 
 
147,944.46

147,567.03

137,863.21

145,723.01

1,844.02

(1,079.35
)


5

1.305

MON
574.43

1,874.39

2/1/2012
11/15/2028
62889AAA1
NCUA GUARANTEED NOTES AGENCY ABS 10-A1 A
 
 
 
 
1,985,255.95

1,990,973.48

1,985,255.95

1,985,255.95

5,717.53




0.553

0.554

MON
640.64

2,881.50

6/10/2011
12/7/2020
00037BAA0
ABB FINANCE USA INC SENIOR CORP BND
 
 
 
 
2,879,700.00

2,934,766.27

2,900,000.00

2,883,215.80

51,550.47

978.39



1.625

1.772

MN
18,719.10


5/3/2012
5/8/2017
00101JAA4
ADT CORP SENIOR CORP BND 144A
 
 
 
 
13,894,602.57

13,860,691.12

13,863,000.00

13,892,397.27

(31,706.15
)
(1,607.42
)


2.25

2.198

JJ
65,849.25

79,123.13

2/21/2013
7/15/2017
00206RAT9
AT&T INC CORP BND
 
 
O
 
1,230,939.99

1,243,705.15

700,000.00

1,194,447.85

49,257.30

(5,635.24
)

(35,088.35
)
5.875

3.407

APR
53,816.83


11/9/2011
4/28/2017
00206RAV4
AT&T INC CORP BND
 
 
 
 
5,989,142.50

5,970,063.66

5,750,000.00

5,910,877.60

59,186.06

(16,419.20
)


2.5

1.3

FA
18,368.06

71,875.00

1/19/2012
8/15/2015
00206RAW2
AT&T INC CORP BND
 
 
 
 
6,694,297.50

6,967,453.28

6,625,000.00

6,669,721.58

297,731.70

(3,402.49
)


2.95

2.723

MN
73,831.95


2/22/2012
5/15/2016
00206RBB7
AT&T INC SENIOR CORP BND
 
 
 
 
11,577,962.75

11,596,107.94

11,575,000.00

11,579,629.00

16,478.94

(469.82
)


0.875

0.853

FA
13,504.16

43,446.19

1/8/2013
2/13/2015
00206RBL5
AT&T INC SENIOR CORP BND
 
 
 
 
4,548,544.00

4,538,469.85

4,550,000.00

4,548,690.73

(10,220.88
)
204.76



0.8

0.811

JD
11,122.22

9,006.67

12/6/2012
12/1/2015
00206RBR2
AT&T INC CORP BND
 
 
 
 
2,498,375.00

2,496,030.63

2,500,000.00

2,498,446.00

(2,415.37
)
142.00



0.9

0.922

FA
3,062.50

3,250.00

2/7/2013
2/12/2016
00206RBS0
AT&T INC SENIOR CORP BND
 
 
 
 
8,000,000.00

8,033,040.16

8,000,000.00

8,000,000.00

33,040.16




0.677

0.677

FMAN
7,221.33


2/7/2013
2/12/2016
00287YAB5
ABBVIE INC SENIOR CORP BND 144A
 
 
 
 
10,902,166.75

11,048,896.49

10,925,000.00

10,903,909.64

144,986.85

1,089.31



1.75

1.794

MN
75,943.93


11/5/2012
11/6/2017
00287YAE9
ABBVIE INC SENIOR CORP BND 144A
 
 
 
 
5,000,000.00

5,072,299.95

5,000,000.00

5,000,000.00

72,299.95




1.056

1.072

FMAN
7,916.25

13,396.88

11/5/2012
11/6/2015
009158AQ9
AIR PRODUCTS AND CHEMICALS INC CORP BND
 
 
 
 
1,544,936.30

1,539,940.55

1,490,000.00

1,544,067.05

(4,126.50
)
(869.25
)


2

0.893

FA
4,883.89

(3,311.11
)
3/7/2013
8/2/2016
009158AS5
AIR PRODUCTS AND CHEMICALS INC SENIOR
 
 
 
 
1,997,920.00

1,997,028.50

2,000,000.00

1,998,144.67

(1,116.17
)
104.41



1.2

1.221

AO
13,200.00


9/6/2012
10/15/2017
009363AN2
AIRGAS INC SENIOR CORP BND
 
 
 
 
3,993,320.00

3,997,474.68

4,000,000.00

3,993,482.95

3,991.73

162.95



1.65

1.685

FA
8,616.67


2/11/2013
2/15/2018
009363AP7
AIRGAS INC SENIOR CORP BND
 
 
 
 
1,648,201.50

1,641,598.18

1,650,000.00

1,648,231.35

(6,633.17
)
29.85



2.375

2.392

FA
5,116.15


2/11/2013
2/15/2020
010392ER5
ALABAMA POWER COMPANY CORP BND
 
 
 
 
562,380.00

559,876.42

500,000.00

560,475.40

(598.98
)
(1,904.60
)


5.2

0.809

JJ
5,488.89

(3,105.56
)
2/25/2013
1/15/2016
010392FH6
ALABAMA POWER COMPANY SENIOR CORP BND
 
 
 
 
8,314,843.50

8,304,837.94

8,325,000.00

8,316,386.47

(11,548.53
)
967.50



0.55

0.591

AO
20,985.94

4,641.39

11/8/2012
10/15/2015
018490AP7
ALLERGAN INC/UNITED STATES SENIOR CORP
 
 
 
 
1,696,481.00

1,711,924.46

1,700,000.00

1,696,517.57

15,406.89

36.57



1.35

1.393

MS
1,211.25


3/7/2013
3/15/2018
021441AD2
ALTERA CORPORATION SENIOR CORP BND
 
 
 
 
2,920,524.75

2,983,127.09

2,925,000.00

2,921,300.43

61,826.66

214.63



1.75

1.782

MN
19,337.49


11/8/2012
5/15/2017
02209SAC7
ALTRIA GROUP INC CORP BND
 
 
 
 
2,111,598.00

1,885,986.00

1,800,000.00

1,873,366.43

12,619.57

(49,448.26
)


8.5

1.725

MN
59,925.00

71,825.00

3/22/2011
11/10/2013
02209SAK9
ALTRIA GROUP INC CORP BND
 
 
 
 
2,107,745.10

2,096,492.22

1,945,000.00

2,099,643.63

(3,151.41
)
(8,101.47
)


4.125

0.83

MS
4,457.30

5,802.50

2/14/2013
9/11/2015
023135AK2
AMAZON.COM INC SENIOR CORP BND
 
 
 
 
5,684,496.00

5,688,572.36

5,700,000.00

5,686,238.66

2,333.70

2,430.93



0.65

0.742

MN
12,555.84

12,101.74

11/26/2012
11/27/2015
02666QL43
AMERICAN HONDA FINANCE CORPORA UNSECURED
 
 
 
 
7,459,377.25

7,510,527.78

7,475,000.00

7,462,286.96

48,240.82

1,306.43



1

1.073

FA
10,381.95

31,145.83

9/4/2012
8/11/2015
02666QM26
AMERICAN HONDA FINANCE CORPORA SENIOR
 
 
 
 
999,430.00

1,008,741.00

1,000,000.00

999,442.36

9,298.64

55.10



1.6

1.612

FA
1,716.67

6,450.00

2/12/2013
2/16/2018
035229CY7
ANHEUSER-BUSCH COMPANIES LLC SENIOR CORP
 
 
 
 
5,556,350.00

5,379,976.65

5,000,000.00

5,238,302.34

141,674.31

(32,337.87
)


5

2.267

JJ
52,777.78

125,000.00

9/23/2010
1/15/2015
03523TAM0
ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND
 
 
 
 
519,436.80

509,203.68

480,000.00

507,335.96

1,867.72

(3,755.68
)


4.125

0.91

JJ
4,180.00

9,900.00

6/7/2012
1/15/2015



03523TAT5
ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND
 
 
 
 
5,807,754.00

5,718,474.02

5,400,000.00

5,731,821.60

(13,347.58
)
(39,958.93
)


3.625

0.588

AO
90,262.50


10/9/2012
4/15/2015
03523TBC1
ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND
 
 
 
 
3,500,000.00

3,510,675.00

3,500,000.00

3,500,000.00

10,675.00




0.851

0.854

JAJO
5,209.31

7,637.36

1/24/2011
1/27/2014
03523TBK3
ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND
 
 
 
 
4,231,344.70

4,228,270.98

4,210,000.00

4,228,374.41

(103.43
)
(2,970.29
)


0.665

0.329

JAJO
5,988.14

(77.77
)
1/10/2013
7/14/2014
03523TBN7
ANHEUSER-BUSCH INBEV WORLDWIDE SENIOR
 
 
 
 
20,262,224.00

20,403,170.73

20,225,000.00

20,262,157.17

141,013.56

(1,672.81
)


1.375

1.33

JJ
58,708.69

114,441.07

2/11/2013
7/15/2017
039483AY8
ARCHER-DANIELS-MIDLAND COMPANY CORP BND
 
 
 
 
2,747,631.25

2,704,558.65

2,275,000.00

2,705,101.17

(542.52
)
(20,673.28
)


5.45

1.478

MS
5,510.56

61,993.75

9/25/2012
3/15/2018
05252EAB9
AUSTRALIA & NEW ZEALAND BANKIN LOCAL
 
 
E
 
9,480,810.00

9,579,324.91

9,500,000.00

9,484,255.22

95,069.69

1,543.32



1

1.067

AO
52,777.77


9/4/2012
10/6/2015
05253JAB7
AUSTRALIA & NEW ZEALAND BANKIN SENIOR
 
 
E
 
8,890,299.00

8,918,520.19

8,900,000.00

8,890,722.78

27,797.41

627.14



0.9

0.937

FA
10,902.50

5,375.00

2/6/2013
2/12/2016
06051GDX4
BANK OF AMERICA CORP CORP BND
 
 
 
 
2,290,332.00

2,539,771.52

2,200,000.00

2,275,808.39

263,963.13

(3,246.81
)


5.65

4.876

MN
51,791.67


2/3/2012
5/1/2018
06051GEG0
BANK OF AMERICA CORP CORP BND
 
 
 
 
8,495,370.00

8,465,159.28

8,000,000.00

8,467,107.94

(1,948.66
)
(27,037.72
)


3.625

1.597

MS
11,277.78

71,493.06

2/8/2013
3/17/2016
06051GEQ8
BANK OF AMERICA CORP CORP BND
 
 
 
 
7,577,808.00

8,186,028.93

7,600,000.00

7,582,021.67

604,007.26

1,029.36



3.875

3.94

MS
7,362.51

147,250.00

3/19/2012
3/22/2017
06051GES4
BANK OF AMERICA CORP SENIOR CORP BND MTN
 
 
 
 
8,988,050.00

8,966,647.53

9,000,000.00

8,988,793.68

(22,146.15
)
743.68



1.25

1.296

JJ
25,000.00

(9,722.22
)
3/18/2013
1/11/2016
06051GET2
BANK OF AMERICA CORP SENIOR CORP BND MTN
 
 
 
 
6,446,761.00

6,419,659.33

6,450,000.00

6,446,761.00

(27,101.67
)



2

2.011

JJ
28,666.66

(26,166.66
)
3/26/2013
1/11/2018
06406HBN8
BANK OF NEW YORK MELLON CORP/T CORP BND
 
 
 
 
2,107,880.00

2,088,956.90

2,000,000.00

2,067,981.19

20,975.71

(9,317.33
)


3.1

1.175

JJ
13,088.89

31,000.00

3/1/2012
1/15/2015
06406HBQ1
BANK OF NEW YORK MELLON CORP/T CORP BND
 
 
 
 
2,996,130.00

3,148,259.34

3,000,000.00

2,998,216.12

150,043.22

192.62



2.95

2.978

JD
25,320.84


6/11/2010
6/18/2015
06406HCA5
BANK OF NEW YORK MELLON CORP BND MTN
 
 
 
 
1,497,285.00

1,569,196.37

1,500,000.00

1,497,949.82

71,246.55

127.73



2.4

2.438

JJ
7,400.00

18,000.00

11/17/2011
1/17/2017
06406HCC1
BANK OF NEW YORK MELLON CORP/T CORP BND
 
 
 
 
6,993,630.00

7,073,136.00

7,000,000.00

6,995,957.10

77,178.90

520.26



1.2

1.231

FA
9,566.67

42,000.00

2/13/2012
2/20/2015
06406HCD9
BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
7,646,625.50

7,641,022.88

7,650,000.00

7,647,288.51

(6,265.63
)
344.81



0.7

0.714

AO
23,205.00

(5,874.17
)
2/13/2013
10/23/2015
06406HCE7
BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
2,995,710.00

2,999,443.14

3,000,000.00

2,996,055.74

3,387.40

213.37



1.3

1.328

JJ
16,900.00


10/18/2012
1/25/2018
06406HCF4
BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
9,682,015.50

9,682,546.02

9,675,000.00

9,681,827.68

718.34

(187.82
)


0.532

0.512

JAJO
9,722.30

4,261.18

3/1/2013
10/23/2015
06406HCG2
BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
8,594,926.00

8,598,438.41

8,600,000.00

8,595,044.54

3,393.87

118.54



0.7

0.72

MS
4,180.56


3/4/2013
3/4/2016
06406HCK3
BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
16,000,000.00

16,023,199.52

16,000,000.00

16,000,000.00

23,199.52




0.723

0.723

MJSD
8,355.82


3/4/2013
3/6/2018
06417FBG4
BANK OF NOVA SCOTIA (HOUSTON B SENIOR
 
 
 
 
5,000,000.00

5,005,765.00

5,000,000.00

5,000,000.00

5,765.00




0.721

0.848

MJSD
2,101.75

9,368.75

9/14/2012
9/11/2015
071813AZ2
BAXTER INTERNATIONAL INC. CORP BND
 
 
 
 
4,010,640.00

4,126,131.60

4,000,000.00

4,002,104.67

124,026.93

(554.97
)


4

3.941

MS
13,333.34

80,000.00

2/23/2009
3/1/2014
07385TAJ5
BEAR STEARNS CO INC CORP BND
 
 
 
 
325,959.90

323,661.19

300,000.00

308,889.80

14,771.39

(1,316.18
)


5.7

3.797

MN
6,460.00


10/29/2009
11/15/2014
073928S46
BEAR STEARNS CO INC CORP BND MTN
 
 
 
 
3,683,076.60

3,696,429.93

3,730,000.00

3,685,757.02

10,672.91

2,680.42



0.679

1.029

FMAN
2,744.13

3,125.38

1/4/2013
11/21/2016
075887BB4
BECTON DICKINSON AND COMPANY CORP BND
 
 
 
 
1,249,587.50

1,276,110.75

1,250,000.00

1,249,699.23

26,411.52

20.05



1.75

1.757

MN
8,689.24


11/8/2012
11/8/2016
079860AG7
BELLSOUTH CORPORATION CORP BND
 
 
 
 
1,257,904.09

1,224,327.47

1,149,000.00

1,193,764.31

30,563.16

(7,479.91
)


5.2

2.452

MS
2,655.47

29,874.00

7/6/2011
9/15/2014
097014AK0
BOEING CAPITAL CORPORATION CORP BND
 
 
 
 
348,762.80

348,654.21

334,000.00

348,295.47

358.74

(467.33
)


3.25

0.51

AO
4,643.53

(4,100.78
)
3/8/2013
10/27/2014
10138MAD7
BOTTLING GROUP LLC CORP BND
 
 
 
 
1,530,340.01

1,612,173.11

1,500,000.00

1,513,320.04

98,853.07

(1,431.71
)


4.125

3.702

JD
18,218.75


2/19/2010
6/15/2015
10138MAH8
BOTTLING GROUP LLC CORP BND
 
 
 
 
9,826,255.00

9,009,561.66

8,500,000.00

8,766,655.78

242,905.88

(67,668.81
)


6.95

3.574

MS
26,255.56

295,375.00

2/5/2009
3/15/2014
110122AL2
BRISTOL MYERS SQUIBB CO CORP BND
 
 
 
 
6,916,260.00

6,617,780.00

6,500,000.00

6,537,888.38

79,891.62

(24,646.57
)


5.25

3.67

FA
43,604.17

170,625.00

3/5/2009
8/15/2013
115637AN0
BROWN-FORMAN CORPORATION SENIOR CORP BND
 
 
 
 
1,295,697.00

1,288,303.35

1,300,000.00

1,295,945.57

(7,642.22
)
205.76



1

1.067

JJ
3,936.11


12/10/2012
1/15/2018
126650AV2
CVS CAREMARK CORP CORP BND
 
 
 
 
1,772,741.60

1,741,539.44

1,640,000.00

1,737,089.94

4,449.50

(16,433.82
)


4.875

0.772

MS
3,553.33

39,975.00

9/13/2012
9/15/2014
126650BE9
CVS CAREMARK CORP CORP BND
 
 
 
 
2,334,389.12

2,320,933.13

1,988,000.00

2,322,018.68

(1,085.55
)
(12,370.44
)


6.125

1.046

FA
15,558.86

338.24

2/11/2013
8/15/2016



126650BT6
CVS CAREMARK CORP CORP BND
 
 
 
 
2,381,040.00

2,362,473.38

2,250,000.00

2,368,210.63

(5,737.25
)
(12,829.37
)


3.25

0.759

MN
27,015.62

(9,953.12
)
1/2/2013
5/18/2015
14170TAF8
CAREFUSION CORP CORP BND
 
 
 
 
6,453,470.60

6,179,581.73

5,860,000.00

6,087,244.06

92,337.67

(41,368.72
)


5.125

2.165

FA
50,054.17

150,162.50

9/12/2011
8/1/2014
149123BY6
CATERPILLAR INC SENIOR CORP BND
 
 
 
 
7,198,488.00

7,256,468.59

7,200,000.00

7,198,868.97

57,599.62

123.72



0.95

0.957

JD
18,050.00


6/21/2012
6/26/2015
14912L4U2
CATERPILLAR FINANCIAL SERVICES CORP BND
 
 
 
 
4,219,068.00

4,210,406.08

4,200,000.00

4,207,049.72

3,356.36

(1,737.04
)


0.598

0.37

JAJO
6,209.24

7,055.21

7/12/2011
4/1/2014
14912L5J6
CATERPILLAR FINANCIAL SERVICES SENIOR
 
 
 
 
8,235,950.00

8,249,628.60

8,240,000.00

8,236,267.40

13,361.20

251.82



1.25

1.26

MN
41,486.11

(14,598.61
)
2/22/2013
11/6/2017
14912L5M9
CATERPILLAR FINANCIAL SERVICES SENIOR
 
 
 
 
7,000,000.00

7,006,089.86

7,000,000.00

7,000,000.00

6,089.86




0.527

0.527

FMAN
3,276.62


2/25/2013
2/26/2016
14912L5N7
CATERPILLAR FINANCIAL SERVICES SENIOR
 
 
 
 
2,896,404.00

2,895,322.07

2,900,000.00

2,896,508.12

(1,186.05
)
104.12



0.7

0.742

FA
1,748.06


2/25/2013
2/26/2016
17275RAG7
CISCO SYSTEMS INC CORP BND
 
 
 
 
3,989,840.00

4,162,321.48

4,000,000.00

3,996,530.34

165,791.14

515.97



2.9

2.955

MN
43,177.78


11/9/2009
11/17/2014
17275RAJ1
CISCO SYSTEMS INC CORP BND
 
 
 
 
509,680.00

506,075.94

500,000.00

503,710.28

2,365.66

(961.35
)


1.625

0.84

MS
383.68

4,062.50

9/12/2011
3/14/2014
17275RAL6
CISCO SYSTEMS INC CORP BND
 
 
 
 
8,300,000.00

8,322,908.75

8,300,000.00

8,300,000.00

22,908.75




0.531

0.559

MJSD
2,204.07

11,609.63

3/9/2011
3/14/2014
172967FD8
CITIGROUP INC CORP BND
 
 
 
 
7,263,772.50

7,346,095.57

6,850,000.00

7,067,411.22

278,684.35

(24,424.18
)


4.75

3.198

MN
119,304.17


5/24/2011
5/19/2015
172967FH9
CITIGROUP INC CORP BND
 
 
 
 
5,734,954.68

5,933,824.81

5,486,000.00

5,677,484.39

256,340.42

(16,731.03
)


4.587

3.229

JD
74,094.83


5/16/2012
12/15/2015
172967FS5
CITIGROUP INC CORP BND
 
 
 
 
4,326,000.00

4,305,080.88

4,000,000.00

4,323,325.67

(18,244.79
)
(2,674.33
)


3.953

1.365

JD
46,557.56

(42,604.56
)
3/19/2013
6/15/2016
172967GG0
CITIGROUP INC SENIOR CORP BND
 
 
 
 
1,993,720.00

1,996,916.96

2,000,000.00

1,993,924.00

2,992.96

204.00



1.25

1.361

JJ
5,625.00

(3,194.44
)
2/21/2013
1/15/2016
172967GP0
CITIGROUP INC SENIOR CORP BND
 
 
 
 
9,988,200.00

10,004,020.70

10,000,000.00

9,988,237.95

15,782.75

37.95



1.3

1.34

AO
1,444.44


3/22/2013
4/1/2016
191216AL4
COCA-COLA COMPANY (THE) CORP BND
 
 
 
 
5,101,681.25

5,277,657.50

5,125,000.00

5,120,246.04

157,411.46

1,299.24



3.625

3.724

MS
8,256.95

160,557.30

2/22/2012
3/15/2014
191216AP5
COCA-COLA COMPANY (THE) CORP BND
 
 
 
 
997,700.00

1,022,159.12

1,000,000.00

998,772.16

23,386.96

113.90



1.5

1.548

MN
5,666.67


11/4/2010
11/15/2015
191216AU4
COCA-COLA COMPANY (THE) CORP BND
 
 
 
 
4,956,450.37

5,065,440.80

4,900,000.00

4,941,350.94

124,089.86

(12,025.58
)


1.8

1.649

MS
7,350.00

84,100.00

12/14/2011
9/1/2016
191216AX8
COCA-COLA COMPANY (THE) SENIOR CORP BND
 
 
 
 
3,372,274.05

3,381,543.89

3,365,000.00

3,372,693.34

8,850.55

(174.37
)


0.75

0.631

MS
1,261.88

7,755.94

2/27/2013
3/13/2015
191216BA7
COCA-COLA COMPANY (THE) SENIOR CORP BND
 
 
 
 
4,989,200.00

5,003,923.05

5,000,000.00

4,989,338.47

14,584.58

241.04



1.15

1.194

AO
4,152.78

3,194.44

2/28/2013
4/1/2018
191219BV5
COCA-COLA ENTERPRISES INC CORP BND
 
 
 
 
2,263,968.00

2,241,829.32

2,100,000.00

2,240,820.22

1,009.10

(18,091.10
)


4.25

0.719

MS
7,437.50

44,625.00

12/4/2012
3/1/2015
19416QDW7
COLGATE-PALMOLIVE CO CORP BND MTN
 
 
 
 
4,433,134.50

4,461,039.43

4,450,000.00

4,440,898.16

20,141.27

1,386.16



0.6

0.727

MN
10,086.66


11/3/2011
11/15/2014
20030NAB7
COMCAST CORPORATION CORP BND
 
 
 
 
5,868,400.00

5,513,034.45

5,000,000.00

5,372,029.85

141,004.60

(50,499.58
)


6.5

2.235

JJ
68,611.12

162,500.00

9/24/2010
1/15/2015
20030NAJ0
COMCAST CORPORATION CORP BND
 
 
 
 
4,575,020.00

4,504,553.84

4,000,000.00

4,519,622.38

(15,068.54
)
(33,066.88
)


5.85

0.832

MN
88,400.00

(33,475.00
)
2/25/2013
11/15/2015
202795HH6
COMMONWEALTH EDISON COMPANY SECURED CORP
 
 
 
 
3,126,706.50

3,071,535.35

2,850,000.00

3,050,812.63

20,722.72

(24,004.64
)


4.7

1.191

AO
61,765.83


6/14/2012
4/15/2015
20825CAT1
CONOCOPHILLIPS CORP BND
 
 
 
 
3,546,840.50

3,801,181.07

3,550,000.00

3,549,032.73

252,148.34

128.49



4.6

4.616

JJ
34,474.45

81,650.00

5/18/2009
1/15/2015
20826FAB2
CONOCOPHILLIPS CO SENIOR CORP BND
 
 
 
 
4,865,113.35

4,861,838.80

4,885,000.00

4,865,820.32

(3,981.52
)
1,103.12



1.05

1.136

JD
16,242.63

10,580.21

2/14/2013
12/15/2017
209111EW9
CONSOLIDATED EDISON CO OF NEW CORP BND
 
 
 
 
436,497.60

419,726.47

400,000.00

408,731.28

10,995.19

(2,106.21
)


5.55

3.313

AO
11,100.00


10/29/2009
4/1/2014
209615CA9
CONSOLIDATED NATURAL GAS CO CORP BND
 
 
 
 
1,532,005.97

1,535,001.99

1,433,000.00

1,528,165.12

6,836.87

(3,840.85
)


5

0.97

JD
23,883.33

(19,106.67
)
3/4/2013
12/1/2014
22160KAE5
COSTCO WHSLE CORP SENIOR CORP BND
 
 
 
 
4,574,085.00

4,585,718.45

4,575,000.00

4,574,141.63

11,576.82

46.92



1.125

1.129

JD
16,298.44


12/28/2012
12/15/2017
224044BM8
COX COMMUNICATIONS INC CORP BND
 
 
 
 
2,439,669.57

2,403,418.28

2,223,000.00

2,392,179.30

11,238.98

(24,318.19
)


5.45

0.942

JD
35,672.98


11/21/2012
12/15/2014
22546QAE7
CREDIT SUISSE FIRST BOSTON CORP BND
 
 
E
 
1,996,820.00

2,105,895.70

2,000,000.00

1,998,676.74

107,218.96

159.33



3.5

3.535

MS
1,555.56

35,000.00

3/18/2010
3/23/2015
22546QAH0
CREDIT SUISSE NEW YORK NY CORP BND
 
 
E
 
1,997,580.00

2,026,440.00

2,000,000.00

1,999,349.73

27,090.27

203.10



2.2

2.242

JJ
9,411.11

22,000.00

1/11/2011
1/14/2014
23311VAC1
DCP MIDSTREAM OPERATING LP SENIOR CORP
 
 
 
 
2,956,525.25

3,007,234.01

2,975,000.00

2,957,719.95

49,514.06

864.03



2.5

2.633

JD
25,618.06


11/19/2012
12/1/2017



233851AM6
DAIMLER FINANCE NORTH AMERICA SENIOR
 
 
 
 
2,000,000.00

2,007,619.94

2,000,000.00

2,000,000.00

7,619.94




1.085

1.249

JAJO
4,882.50

5,776.83

4/2/2012
4/10/2014
233851AN4
DAIMLER FINANCE NORTH AMERICA SENIOR
 
 
 
 
7,062,140.00

7,077,402.57

7,000,000.00

7,059,594.82

17,807.75

(2,821.58
)


1.65

1.223

AO
54,862.50

(30,937.50
)
2/20/2013
4/10/2015
233851AQ7
DAIMLER FINANCE NORTH AMERICA SENIOR
 
 
 
 
5,989,080.00

6,021,120.78

6,000,000.00

5,991,466.42

29,654.36

890.48



1.3

1.362

JJ
13,216.66

39,000.00

7/25/2012
7/31/2015
233851AU8
DAIMLER FINANCE NORTH AMERICA SENIOR
 
 
 
 
9,814,268.90

9,911,359.66

9,830,000.00

9,815,159.69

96,199.97

890.79



1.875

1.908

JJ
40,958.34

(5,156.25
)
2/11/2013
1/11/2018
235851AJ1
DANAHER CORPORATION CORP BND
 
 
 
 
1,400,000.00

1,400,601.99

1,400,000.00

1,400,000.00

601.99




0.532

0.496

MJSD
227.62

1,960.00

6/20/2011
6/21/2013
235851AL6
DANAHER CORPORATION CORP BND
 
 
 
 
3,993,600.00

4,189,970.09

4,000,000.00

3,995,784.58

194,185.51

310.85



2.3

2.334

JD
25,044.45


6/20/2011
6/23/2016
24422ERD3
JOHN DEERE CAPITAL CORP CORP BND MTN
 
 
 
 
1,900,780.90

1,901,197.08

1,900,000.00

1,900,112.13

1,084.95

(96.06
)


0.454

0.328

JAJO
1,821.04

2,380.44

7/7/2011
7/15/2013
24422ERN1
JOHN DEERE CAPITAL CORP SENIOR CORP BND
 
 
 
 
10,272,020.25

10,372,556.50

10,275,000.00

10,272,671.08

99,885.42

141.60



1.4

1.406

MS
6,393.33

71,925.00

2/22/2012
3/15/2017
24422ERU5
JOHN DEERE CAPITAL CORP CORP BND
 
 
 
 
5,000,000.00

5,007,450.10

5,000,000.00

5,000,000.00

7,450.10




0.451

0.699

JAJO
4,134.17

5,944.86

6/26/2012
4/25/2014
24422ERZ4
JOHN DEERE CAPITAL CORP UNSECURED CORP
 
 
 
 
634,326.90

634,008.88

635,000.00

634,368.68

(359.80
)
41.78



0.75

0.786

JJ
899.59


1/17/2013
1/22/2016
24422ESB6
JOHN DEERE CAPITAL CORP CORP BND MTN
 
 
 
 
4,988,450.00

5,023,043.80

5,000,000.00

4,988,577.44

34,466.36

127.44



1.3

1.348

MS
3,611.11


3/6/2013
3/12/2018
24702RAP6
DELL INC CORP BND
 
 
 
 
3,767,192.00

3,700,000.00

3,700,000.00

3,742,686.18

(42,686.18
)
(4,131.61
)


3.1

2.697

AO
57,350.00

28,713.76

3/22/2013
4/1/2016
25459HAV7
DIRECTV HOLDINGS LL/DIR TV FIN CORP BND
 
 
 
 
5,665,268.75

5,796,125.12

5,525,000.00

5,642,781.91

153,343.21

(5,013.83
)


3.125

2.348

FA
22,061.63

53,168.41

2/21/2013
2/15/2016
25459HAY1
DIRECTV HOLDINGS LLC/DIRECTV F SENIOR
 
 
 
 
12,368,532.75

12,469,491.50

11,745,000.00

12,288,113.10

181,378.40

(45,020.09
)


3.5

1.853

MS
34,256.25

205,537.50

10/16/2012
3/1/2016
25459HBE4
DIRECTV HOLDINGS LLC/DIRECTV F SENIOR
 
 
 
 
2,996,986.10

3,081,885.00

3,000,000.00

2,997,557.93

84,327.07

145.21



2.4

2.422

MS
3,200.00

36,000.00

5/15/2012
3/15/2017
25468PCV6
WALT DISNEY COMPANY (THE) SENIOR CORP
 
 
 
 
11,496,881.75

11,546,788.36

11,575,000.00

11,501,580.34

45,208.02

4,192.59



1.1

1.24

JD
42,795.35

2,752.91

2/11/2013
12/1/2017
26138EAM1
DR PEPPER SNAPPLE GROUP INC CORP BND
 
 
 
 
1,423,418.25

1,499,017.98

1,425,000.00

1,424,093.23

74,924.75

77.32



2.9

2.924

JJ
8,724.17

20,662.50

1/6/2011
1/15/2016
263534BQ1
EI DU PONT DE NEMOURS & CO CORP BND
 
 
 
 
2,202,898.00

2,194,782.09

1,900,000.00

2,192,993.97

1,788.12

(9,904.03
)


5.25

1.003

JD
29,370.83

(16,347.92
)
2/11/2013
12/15/2016
263534BU2
EI DU PONT DE NEMOURS & CO CORP BND
 
 
 
 
5,332,122.00

5,344,366.25

5,275,000.00

5,280,610.63

63,755.62

(4,793.26
)


5

4.628

JJ
55,680.55

131,875.00

12/21/2009
7/15/2013
263534CH0
EI DU PONT DE NEMOURS & CO CORP BND
 
 
 
 
11,692,469.20

11,708,621.27

11,660,000.00

11,675,301.51

33,319.76

(3,840.94
)


0.704

0.627

MJSD
1,596.35

21,043.06

6/25/2012
3/25/2014
264399EM4
DUKE ENERGY CORP CORP BND
 
 
 
 
5,868,267.80

5,682,058.89

5,095,000.00

5,639,094.89

42,964.00

(53,037.87
)


5.3

0.966

AO
135,017.50


3/1/2012
10/1/2015
26441CAE5
DUKE ENERGY CORP CORP BND
 
 
 
 
1,052,000.00

1,049,956.59

1,000,000.00

1,049,228.46

728.13

(2,771.54
)


3.35

0.862

AO
16,750.00

(12,934.72
)
2/14/2013
4/1/2015
26442EAB6
DUKE ENERGY OHIO INC CORP BND
 
 
 
 
774,868.25

777,704.75

775,000.00

774,991.96

2,712.79

34.07



2.1

2.105

JD
4,792.08

12,372.50

12/14/2009
6/15/2013
26882PAS1
ERAC USA FINANCE COMPANY CORP BND 144A
 
 
 
 
1,640,475.00

1,640,384.45

1,500,000.00

1,562,363.24

78,021.21

(7,137.67
)


5.6

3.512

MN
35,000.00


5/27/2010
5/1/2015
277432AM2
EASTMAN CHEMICAL COMPANY SENIOR CORP BND
 
 
 
 
822,228.00

854,747.89

825,000.00

822,660.57

32,087.32

131.57



2.4

2.472

JD
6,600.00


5/29/2012
6/1/2017
278058DG4
EATON CORPORATION CORP BND
 
 
 
 
2,655,050.00

2,626,672.93

2,500,000.00

2,620,444.16

6,228.77

(30,829.29
)


5.95

0.935

MS
4,545.14

74,375.00

12/18/2012
3/20/2014
278642AB9
EBAY INC. CORP BND
 
 
 
 
5,854,861.76

5,950,903.34

5,808,000.00

5,859,647.10

91,256.24

(73.27
)


1.625

1.265

AO
43,519.67

(14,715.28
)
3/26/2013
10/15/2015
278642AG8
EBAY INC. SENIOR CORP BND
 
 
 
 
6,367,171.65

6,348,929.40

6,300,000.00

6,361,307.56

(12,378.16
)
(3,464.05
)


1.35

1.117

JJ
17,955.00

40,398.76

11/8/2012
7/15/2017
285661AD6
HP ENTERPRISE SERVICES LLC CORP BND
 
 
 
 
4,501,240.00

4,067,880.00

4,000,000.00

4,053,593.21

14,286.79

(39,182.29
)


6

1.985

FA
40,000.00

120,000.00

4/30/2010
8/1/2013
293791AN9
ENTERPRISE PROD OPER LP CORP BND
 
 
 
 
1,193,423.00

1,183,301.80

1,100,000.00

1,181,203.73

2,098.07

(12,219.27
)


5.6

0.765

AO
28,404.44

(14,031.12
)
1/2/2013
10/15/2014
293791AR0
ENTERPRISE PROD OPER LP CORP BND
 
 
 
 
4,324,320.00

4,311,206.68

4,000,000.00

4,319,821.56

(8,614.88
)
(4,498.44
)


5

0.784

MS
16,666.66

(11,666.66
)
3/19/2013
3/1/2015
29379VAX1
ENTERPRISE PROD OPER LP SENIOR CORP BND
 
 
 
 
5,475,819.75

5,525,377.01

5,475,000.00

5,475,649.27

49,727.74

(66.85
)


1.25

1.245

FA
9,125.01

34,218.75

8/6/2012
8/13/2015
30219GAD0
ARISTOTLE HOLDING INC SENIOR CORP BND
 
 
 
 
4,067,024.68

4,295,053.44

4,100,000.00

4,068,688.44

226,365.00

1,663.76



2.65

1.732

FA
13,883.06

9,355.97

1/14/2013
2/15/2017
30249UAA9
FMC TECHNOLOGIES INC SENIOR CORP BND
 
 
 
 
349,184.50

353,410.92

350,000.00

349,267.16

4,143.76

39.22



2

2.049

AO
3,694.44


9/18/2012
10/1/2017



302570BC9
NEXTERA ENERGY CAPITAL HOLDING CORP BND
 
 
 
 
7,402,175.00

7,120,602.43

6,050,000.00

6,714,116.97

406,485.46

(57,745.80
)


7.875

3.581

JD
140,284.38


2/17/2010
12/15/2015
337738AH1
FISERV INC CORP BND
 
 
 
 
1,578,345.00

1,574,840.48

1,500,000.00

1,575,461.14

(620.66
)
(2,883.86
)


3.125

1.08

AO
23,437.50

(18,880.21
)
2/21/2013
10/1/2015
337738AK4
FISERV INC CORP BND
 
 
 
 
527,600.00

526,032.22

500,000.00

527,150.11

(1,117.89
)
(449.89
)


3.125

1.386

JD
4,600.69

(3,776.04
)
3/7/2013
6/15/2016
341099CQ0
PROGRESS ENERGY FLORIDA SECURED CORP BND
 
 
 
 
4,772,675.81

4,762,790.40

4,771,000.00

4,772,938.61

(10,148.21
)
171.31



0.65

0.634

MN
11,284.74

(4,777.50
)
3/21/2013
11/15/2015
354613AH4
FRANKLIN RESOURCES INC SENIOR CORP BND
 
 
 
 
2,834,467.50

2,856,298.30

2,850,000.00

2,836,038.90

20,259.40

747.81



1.375

1.489

MS
1,741.67

18,614.07

11/8/2012
9/15/2017
35671DAW5
FREEPORT-MCMORAN COPPER & GOLD SENIOR
 
 
 
 
3,345,980.00

3,389,844.90

3,350,000.00

3,346,861.99

42,982.91

189.20



2.15

2.175

MS
6,002.09

36,012.50

2/8/2012
3/1/2017
35671DBE4
FREEPORT-MCMORAN COPPER & GOLD SENIOR
 
 
 
 
4,919,508.00

4,936,281.51

4,920,000.00

4,919,513.80

16,767.71

5.80



2.375

2.377

MS
7,790.00


2/28/2013
3/15/2018
361448AP8
GATX CORP SENIOR CORP BND
 
 
 
 
1,974,772.80

1,991,826.80

1,980,000.00

1,974,801.42

17,025.38

28.62



2.375

2.426

JJ
1,567.50


3/14/2013
7/30/2018
369550AQ1
GENERAL DYNAMICS CORP CORP BND
 
 
 
 
1,149,579.40

1,139,156.86

1,090,000.00

1,142,671.90

(3,515.04
)
(3,918.39
)


2.25

0.76

JJ
5,177.50

12,262.50

10/18/2012
7/15/2016
369550AV0
GENERAL DYNAMICS CORP SENIOR CORP BND
 
 
 
 
12,377,310.88

12,365,832.47

12,463,000.00

12,382,830.41

(16,997.94
)
3,605.61



1

1.143

MN
50,198.20

(4,932.69
)
2/21/2013
11/15/2017
369604BE2
GENERAL ELECTRIC CO SENIOR CORP BND
 
 
 
 
2,774,250.75

2,783,561.57

2,775,000.00

2,774,368.86

9,192.71

111.47



0.85

0.859

AO
11,269.58

30,261.18

12/28/2012
10/9/2015
36962G3T9
GENERAL ELECTRIC CAP CORP CORP BND
 
 
 
 
104,630.90

100,353.00

100,000.00

100,115.17

237.83

(345.50
)


4.8

3.387

MN
2,000.00


10/29/2009
5/1/2013
36962G4D3
GENERAL ELECTRIC CAP CORP CORP BND MTN
 
 
 
 
261,337.50

303,466.28

250,000.00

258,044.40

45,421.88

(261.45
)


6

5.395

FA
2,250.00

7,500.00

10/29/2009
8/7/2019
36962G4T8
GENERAL ELECTRIC CAP CORP CORP BND
 
 
 
 
7,243,470.00

7,802,700.85

7,550,000.00

7,378,972.84

423,728.01

15,597.50



2.25

3.162

MN
67,006.26


2/22/2012
11/9/2015
36962G5M2
GENERAL ELECTRIC CAP CORP CORP BND MTN
 
 
 
 
1,648,284.00

1,691,576.43

1,650,000.00

1,648,972.45

42,603.98

141.08



2.15

2.186

JJ
8,080.41

17,737.50

12/28/2012
1/9/2015
36962G6K5
GENERAL ELECTRIC CAP CORP SENIOR CORP
 
 
 
 
10,011,950.00

9,998,281.90

10,000,000.00

10,012,059.07

(13,777.17
)
(35.20
)


1.6

1.573

MN
58,222.22

(21,333.33
)
2/21/2013
11/20/2017
36962G6M1
GENERAL ELECTRIC CAP CORP SECURED CORP
 
 
 
 
1,265,636.06

1,265,821.99

1,258,000.00

1,265,302.07

519.92

(333.99
)


1

0.782

JD
3,808.94

(2,201.50
)
2/12/2013
12/11/2015
36962G6N9
GENERAL ELECTRIC CAP CORP SECURED CORP
 
 
 
 
2,000,000.00

2,016,660.00

2,000,000.00

2,000,000.00

16,660.00




0.881

0.899

MJSD
1,326.78

4,501.91

12/5/2012
12/11/2015
36962G6R0
GENERAL ELECTRIC CAP CORP SENIOR CORP
 
 
 
 
13,762,637.93

13,764,609.37

13,767,000.00

13,763,522.52

1,086.85

2,435.42



1

1.009

JJ
31,740.58

7,972.22

2/11/2013
1/8/2016
370334BQ6
GENERAL MILLS INC SENIOR CORP BND
 
 
 
 
5,806,100.00

5,809,958.60

5,800,000.00

5,805,918.52

4,040.08

(181.48
)


0.601

0.565

JAJO
5,804.83

(545.87
)
2/26/2013
1/29/2016
373334JM4
GEORGIA POWER COMPANY CORP BND
 
 
 
 
13,105,434.50

12,015,693.50

11,650,000.00

11,897,235.03

118,458.47

(104,420.65
)


6

2.311

MN
291,250.00


4/9/2010
11/1/2013
373334JV4
GEORGIA POWER COMPANY CORP BND
 
 
 
 
3,399,082.00

3,612,894.30

3,400,000.00

3,399,419.66

213,474.64

44.84



3

3.006

AO
47,033.33


4/12/2011
4/15/2016
373334KB6
GEORGIA POWER COMPANY SENIOR CORP BND
 
 
 
 
1,670,000.00

1,670,795.35

1,670,000.00

1,670,000.00

795.35




0.6

0.6

MJSD
473.25


3/12/2013
3/15/2016
377372AC1
GLAXOSK CAP INC CORP BND
 
 
 
 
2,574,349.50

2,488,117.77

2,475,000.00

2,478,171.70

9,946.07

(6,487.59
)


4.85

3.776

MN
45,347.50


6/5/2009
5/15/2013
377372AD9
GLAXOSK CAP INC CORP BND
 
 
 
 
4,834,520.00

4,838,775.64

4,000,000.00

4,819,405.14

19,370.50

(15,114.86
)


5.65

1.483

MN
85,377.78

(62,777.78
)
2/20/2013
5/15/2018
377372AG2
GLAXOSK CAP INC SENIOR CORP BND
 
 
 
 
9,088,170.00

9,106,324.14

9,100,000.00

9,088,318.63

18,005.51

148.63



0.7

0.744

MS
2,300.28


3/13/2013
3/18/2016
38141EA33
GOLDMAN SACHS GROUP INC/THE CORP BND
 
 
 
 
5,133,795.50

5,116,219.36

4,850,000.00

4,993,819.06

122,400.30

(32,306.64
)


6

3.191

MN
121,250.00


6/14/2012
5/1/2014
38141EA74
GOLDMAN SACHS GROUP INC/THE CORP BND
 
 
 
 
2,262,884.00

2,336,408.80

2,212,000.00

2,248,886.91

87,521.89

(3,803.12
)


3.7

2.949

FA
13,640.67

40,922.00

10/17/2012
8/1/2015
38141EB32
GOLDMAN SACHS GROUP INC/THE SENIOR CORP
 
 
 
 
2,017,500.00

2,015,728.46

2,000,000.00

2,016,904.37

(1,175.91
)
(595.63
)


1.6

1.274

MN
11,377.78

(8,266.67
)
2/21/2013
11/23/2015
38141EB40
GOLDMAN SACHS GROUP INC/THE SENIOR CORP
 
 
 
 
5,032,650.00

5,024,499.90

5,000,000.00

5,030,573.64

(6,073.74
)
(2,076.36
)


1.289

0.941

FMAN
6,982.62

351.82

2/13/2013
11/21/2014
38141GEA8
GOLDMAN SACHS GROUP INC/THE CORP BND
 
 
 
 
4,431,536.00

4,620,776.37

4,325,000.00

4,378,348.26

242,428.11

(11,795.03
)


5.125

4.4

JJ
46,794.09

187,347.23

1/19/2012
1/15/2015
38141GEE0
GOLDMAN SACHS GROUP INC/THE CORP BND
 
 
 
 
5,550,450.00

5,522,838.20

5,000,000.00

5,533,279.76

(10,441.56
)
(17,170.24
)


5.35

1.438

JJ
56,472.22

(31,208.33
)
2/22/2013
1/15/2016
38141GGT5
GOLDMAN SACHS GROUP INC/THE SENIOR CORP
 
 
 
 
1,374,023.75

1,433,036.45

1,375,000.00

1,374,310.45

58,726.00

78.90



3.3

3.325

MN
18,654.17


4/30/2012
5/3/2015
38141GRC0
GOLDMAN SACHS GROUP INC/THE SENIOR CORP
 
 
 
 
6,290,635.00

6,327,061.19

6,250,000.00

6,290,684.31

36,376.88

49.31



2.375

2.231

JJ
28,846.35

(14,052.08
)
3/28/2013
1/22/2018



38143USB8
GOLDMAN SACHS GROUP INC/THE SENIOR CORP
 
 
 
 
6,006,460.00

6,029,279.46

6,000,000.00

6,001,799.62

27,479.84

(1,218.07
)


1.296

1.269

FMAN
11,443.58

40,205.96

7/12/2011
2/7/2014
38143USC6
GOLDMAN SACHS GROUP INC/THE CORP BND
 
 
 
 
3,717,253.50

3,742,695.75

3,525,000.00

3,687,998.13

54,697.62

(13,689.19
)


3.625

1.951

FA
19,167.19

63,890.63

9/14/2012
2/7/2016
40414LAB5
HCP CORP BND
 
 
 
 
2,982,845.25

3,021,529.00

2,975,000.00

2,977,239.93

44,289.07

(653.61
)


2.7

2.608

FA
13,387.50

40,162.50

1/20/2011
2/1/2014
40428HPG1
HSBC USA INC SENIOR CORP BND
 
 
 
 
7,670,812.00

7,817,538.07

7,600,000.00

7,645,664.43

171,873.64

(5,904.99
)


2.375

2.046

FA
24,066.67

90,250.00

3/2/2012
2/13/2015
40428HPH9
HSBC BANK USA INC SENIOR CORP BND
 
 
 
 
6,072,582.60

6,081,891.29

6,090,000.00

6,073,502.93

8,388.36

826.28



1.625

1.684

JJ
27,764.48


12/13/2012
1/16/2018
41283LAA3
HARLEY-DAVIDSON FINANCIAL CORP BND 144A
 
 
 
 
5,354,250.00

5,537,875.19

5,250,000.00

5,322,082.55

215,792.64

(5,752.26
)


3.875

3.381

MS
9,041.67

101,718.75

10/27/2011
3/15/2016
423074AJ2
HEINZ H. J. COMPANY CORP BND
 
 
 
 
3,203,550.00

3,036,780.00

3,000,000.00

3,040,843.94

(4,063.94
)
(34,903.18
)


5.35

0.641

JJ
33,883.33

80,250.00

1/31/2012
7/15/2013
423074AN3
HEINZ H. J. COMPANY SENIOR CORP BND
 
 
 
 
399,388.00

404,000.00

400,000.00

399,516.50

4,483.50

29.55



1.5

1.532

MS
500.00

3,000.00

2/28/2012
3/1/2017
427866AS7
HERSHEY COMPANY THE CORP BND
 
 
 
 
3,117,718.75

3,179,161.56

3,125,000.00

3,119,684.81

59,476.75

357.84



1.5

1.549

MN
19,531.25


3/22/2013
11/1/2016
428236AT0
HEWLETT-PACKARD CO CORP BND
 
 
 
 
6,576,217.00

6,256,690.96

5,975,000.00

6,093,975.79

162,715.17

(31,384.82
)


6.125

3.889

MS
30,497.40

182,984.38

10/26/2009
3/1/2014
428236AV5
HEWLETT-PACKARD CO CORP BND
 
 
 
 
8,728,518.65

8,416,119.78

8,079,000.00

8,265,344.15

150,775.63

(38,687.97
)


4.75

2.733

JD
126,851.53


4/9/2010
6/2/2014
428236BJ1
HEWLETT-PACKARD CO CORP BND
 
 
 
 
8,105,000.00

8,060,746.86

8,105,000.00

8,105,000.00

(44,253.14
)



0.687

0.654

FMAN
4,946.57

14,396.52

5/25/2011
5/30/2014
428236BW2
HEWLETT-PACKARD CO UNSEC CORP BND
 
 
 
 
1,874,718.75

1,890,450.38

1,875,000.00

1,874,771.72

15,678.66

272.30



2.6

2.603

MS
2,166.67

44,597.22

3/7/2012
9/15/2017
438516AY2
HONEYWELL INTERNATIONAL INC CORP BND
 
 
 
 
1,061,080.00

1,029,590.00

1,000,000.00

1,019,321.54

10,268.46

(5,402.78
)


3.875

1.642

FA
4,951.38

19,375.00

10/20/2011
2/15/2014
44923QAB0
HYUNDAI CAPITAL AMERICA CORP BND 144A
 
 
 
 
1,991,020.00

2,155,328.68

2,000,000.00

1,992,987.74

162,340.94

379.12



4

4.092

JD
25,111.11


12/1/2011
6/8/2017
458140AH3
INTEL CORP CORP BND
 
 
 
 
1,797,246.00

1,862,055.59

1,800,000.00

1,798,060.51

63,995.08

131.69



1.95

1.982

AO
17,550.00


9/14/2011
10/1/2016
458140AL4
INTEL CORP SENIOR CORP BND
 
 
 
 
4,994,700.00

5,008,222.95

5,000,000.00

4,995,013.15

13,209.80

255.96



1.35

1.372

JD
20,625.00


12/4/2012
12/15/2017
459200GN5
INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
1,250,026.50

1,161,641.25

1,125,000.00

1,141,411.68

20,229.57

(7,407.47
)


6.5

3.737

AO
33,718.75


6/11/2009
10/15/2013
459200GT2
INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
3,291,708.00

3,307,821.00

3,300,000.00

3,299,020.15

8,800.85

693.95



1

1.086

FA
5,133.33

16,500.00

9/15/2010
8/5/2013
459200GX3
INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
2,598,825.00

2,594,814.68

2,500,000.00

2,596,612.63

(1,797.95
)
(2,212.37
)


1.95

0.764

JJ
9,343.75

(5,687.50
)
2/27/2013
7/22/2016
459200HB0
INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
5,122,023.50

5,157,914.06

5,150,000.00

5,131,191.41

26,722.65

2,491.18



0.55

0.749

FA
4,327.43

14,162.50

5/1/2012
2/6/2015
459200HC8
INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
3,260,491.75

3,305,353.55

3,275,000.00

3,263,741.90

41,611.65

702.83



1.25

1.342

FA
6,254.33

20,468.75

2/22/2012
2/6/2017
459200HD6
INTERNATIONAL BUSINESS MACHINE SENIOR
 
 
 
 
4,542,447.00

4,574,206.96

4,550,000.00

4,544,667.93

29,539.03

853.09



0.75

0.806

MN
13,270.83

7,250.00

5/8/2012
5/11/2015
459200HK0
INTERNATIONAL BUSINESS MACHINE SENIOR
 
 
 
 
6,126,810.10

6,177,061.79

6,155,000.00

6,127,595.77

49,466.02

1,486.27



1.25

1.345

FA
11,139.93

10,096.88

2/5/2013
2/8/2018
46623EJF7
JPMORGAN CHASE & CO CORP BND MTN
 
 
 
 
775,000.00

779,642.25

775,000.00

775,000.00

4,642.25




1.102

1.103

JAJO
1,589.49

17,078.83

1/14/2011
1/24/2014
46623EJP5
JPMORGAN CHASE & CO SENIOR CORP BND MTN
 
 
 
 
6,995,100.00

7,119,651.36

7,000,000.00

6,996,751.50

122,899.86

515.81



1.875

1.899

MS
4,010.41

90,609.39

3/14/2012
3/20/2015
46623EJS9
JPMORGAN CHASE & CO SENIOR CORP BND MTN
 
 
 
 
5,431,411.80

5,428,566.38

5,400,000.00

5,431,278.83

(2,712.45
)
(132.97
)


0.964

0.737

JAJO
10,989.60

(10,411.20
)
3/25/2013
10/15/2015
46623EJU4
JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
12,135,298.50

12,173,785.21

12,150,000.00

12,135,752.10

38,033.11

453.60



1.125

1.166

FA
13,289.07


2/21/2013
2/26/2016
46623EJV2
JPMORGAN CHASE & CO SENIOR CORP BND MTN
 
 
 
 
8,000,000.00

8,004,639.92

8,000,000.00

8,000,000.00

4,639.92




0.908

0.908

FMAN
6,861.20


2/21/2013
2/26/2016
46625HCE8
JPMORGAN CHASE & CO CORP BND
 
 
 
 
182,024.50

187,438.94

175,000.00

177,692.80

9,746.14

(332.79
)


4.75

3.908

MS
692.71

4,156.25

10/29/2009
3/1/2015
46625HHB9
JPMORGAN CHASE & CO CORP BND
 
 
 
 
7,647,350.00

7,525,950.75

7,500,000.00

7,504,325.63

21,625.12

(12,976.94
)


4.75

4.045

MN
148,437.50


2/22/2012
5/1/2013
46625HHP8
JPMORGAN CHASE & CO CORP BND
 
 
 
 
10,689,530.00

11,015,508.74

10,500,000.00

10,619,190.07

396,318.67

(16,137.13
)


3.7

3.043

JJ
76,620.83

194,250.00

8/30/2012
1/20/2015
46625HHX1
JPMORGAN CHASE & CO CORP BND
 
 
 
 
7,486,460.00

7,438,379.62

7,000,000.00

7,471,283.91

(32,904.29
)
(16,724.46
)


3.45

1.097

MS
20,125.00

74,941.67

3/8/2013
3/1/2016
46625HJA9
JPMORGAN CHASE & CO CORP BND
 
 
 
 
6,650,970.00

6,696,047.52

6,325,000.00

6,629,872.32

66,175.20

(15,480.78
)


3.15

1.624

JJ
47,595.63

9,493.75

1/29/2013
7/5/2016



46625HJF8
JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
14,920,000.00

15,018,024.10

14,920,000.00

14,920,000.00

98,024.10




1.201

1.201

JAJO
32,851.35


1/17/2013
1/25/2018
46625HJG6
JPMORGAN CHASE & CO CORP BND
 
 
 
 
4,996,650.00

5,022,127.15

5,000,000.00

4,996,767.25

25,359.90

117.25



1.8

1.814

JJ
16,500.00


1/17/2013
1/25/2018
478160AW4
JOHNSON & JOHNSON CORP BND
 
 
 
 
122,861.25

133,954.03

125,000.00

123,358.07

10,595.96

48.39



2.95

3.15

MS
307.29

1,843.75

8/12/2010
9/1/2020
478160AY0
JOHNSON & JOHNSON SENIOR CORP BND
 
 
 
 
526,270.00

523,835.53

500,000.00

521,934.03

1,901.50

(1,725.75
)


2.15

0.726

MN
4,061.11


8/13/2012
5/15/2016
48126EAA5
JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
6,987,470.00

7,131,506.90

7,000,000.00

6,988,929.56

142,577.34

592.68



2

2.038

FA
17,888.89

68,055.55

8/13/2012
8/15/2017
487836BG2
KELLOGG COMPANY SENIOR CORP BND
 
 
 
 
2,646,899.50

2,671,084.83

2,650,000.00

2,647,792.14

23,292.69

255.21



1.125

1.165

MN
11,262.50


5/14/2012
5/15/2015
487836BK3
KELLOGG COMPANY SENIOR CORP BND
 
 
 
 
1,200,000.00

1,201,367.77

1,200,000.00

1,200,000.00

1,367.77




0.522

0.522

FMAN
800.55


2/11/2013
2/13/2015
494550BG0
KINDER MORGAN ENERGY PARTNERS CORP BND
 
 
 
 
1,149,793.00

1,228,786.57

1,150,000.00

1,149,873.07

78,913.50

10.18



3.5

3.504

MS
3,354.17

20,125.00

2/23/2011
3/1/2016
50076QAK2
KRAFT FOODS GROUP INC SENIOR CORP BND
 
 
 
 
1,394,895.50

1,392,936.98

1,370,000.00

1,393,956.20

(1,019.22
)
(939.30
)


1.625

0.812

JD
7,235.31

(5,302.92
)
2/26/2013
6/4/2015
50076QAY2
KRAFT FOODS GROUP INC CORP BND
 
 
 
 
3,718,985.96

3,863,214.78

3,725,000.00

3,719,277.40

143,937.38

291.44



2.25

1.396

JD
27,006.25

(9,545.32
)
1/16/2013
6/5/2017
565849AJ5
MARATHON OIL CORP SENIOR CORP BND
 
 
 
 
999,880.00

998,819.20

1,000,000.00

999,896.76

(1,077.56
)
9.94



0.9

0.904

MN
3,800.00


10/24/2012
11/1/2015
581557AY1
MCKESSON CORP SENIOR CORP BND
 
 
 
 
1,005,660.00

1,003,263.32

1,000,000.00

1,005,480.49

(2,217.17
)
(179.51
)


0.95

0.743

JD
3,087.50

(2,216.67
)
2/25/2013
12/4/2015
585055AU0
MEDTRONIC INC CORP BND
 
 
 
 
526,905.00

521,573.26

500,000.00

526,090.63

(4,517.37
)
(814.37
)


2.625

0.833

MS
583.33

619.79

2/25/2013
3/15/2016
585055BA3
MEDTRONIC INC SENIOR CORP BND
 
 
 
 
3,444,825.00

3,453,534.18

3,450,000.00

3,444,836.60

8,697.58

11.60



1.375

1.406

AO
658.85


3/19/2013
4/1/2018
589331AK3
MERCK & CO INC CORP BND
 
 
 
 
8,701,862.50

8,648,305.70

8,000,000.00

8,278,163.88

370,141.82

(34,772.93
)


4.75

2.871

MS
31,666.67

190,000.00

2/17/2010
3/1/2015
594918AB0
MICROSOFT CORP CORP BND
 
 
 
 
2,254,225.19

2,206,606.34

2,141,000.00

2,202,009.09

4,597.25

(12,878.27
)


2.95

0.499

JD
21,053.17


3/26/2012
6/1/2014
594918AG9
MICROSOFT CORP CORP BND
 
 
 
 
995,610.00

1,028,574.45

1,000,000.00

997,772.30

30,802.15

217.41



1.625

1.717

MS
270.83

8,125.00

9/22/2010
9/25/2015
595620AD7
MIDAMERICAN ENERGY HOLDINGS CO CORP BND
 
 
 
 
14,515,750.75

14,074,713.19

13,255,000.00

13,713,562.72

361,150.47

(73,950.24
)


4.65

2.29

AO
308,178.75


11/8/2012
10/1/2014
6174467N3
MORGAN STANLEY CORP BND
 
 
 
 
2,400,983.75

2,504,134.47

2,375,000.00

2,388,243.86

115,890.61

(1,361.79
)


4

3.745

JJ
17,680.56

47,500.00

10/15/2010
7/24/2015
617446B99
MORGAN STANLEY CORP BND
 
 
 
 
469,255.00

498,849.99

500,000.00

494,122.38

4,727.61

1,854.87



0.605

2.096

JAJO
689.03

832.15

10/22/2009
1/9/2014
61746BDG8
MORGAN STANLEY SENIOR CORP BND
 
 
 
 
8,733,462.50

8,810,249.70

8,750,000.00

8,733,983.51

76,266.19

498.52



1.75

1.815

FA
15,312.50

1,458.34

2/20/2013
2/25/2016
61746BDH6
MORGAN STANLEY SENIOR CORP BND
 
 
 
 
1,550,000.00

1,556,603.16

1,550,000.00

1,550,000.00

6,603.16




1.538

1.538

FMAN
2,317.83


2/20/2013
2/25/2016
61746SBQ1
MORGAN STANLEY CORP BND
 
 
 
 
2,851,710.00

2,950,230.09

3,000,000.00

2,919,307.12

30,922.97

7,663.55



0.784

1.841

JAJO
4,965.33

6,288.58

1/5/2011
10/15/2015
61747WAE9
MORGAN STANLEY CORP BND
 
 
 
 
6,716,242.50

6,730,068.56

6,675,000.00

6,686,652.88

43,415.68

(3,491.88
)


1.902

1.69

JAJO
23,628.39

32,679.50

2/11/2011
1/24/2014
61747YCF0
MORGAN STANLEY CORP BND
 
 
 
 
2,928,431.00

2,844,951.96

2,700,000.00

2,779,124.22

65,827.74

(17,242.13
)


6

3.302

MN
62,100.00


1/6/2011
5/13/2014
61747YCJ2
MORGAN STANLEY CORP BND
 
 
 
 
7,641,849.00

7,726,801.40

6,700,000.00

7,618,500.65

108,300.75

(23,348.35
)


5.625

3.259

MS
8,375.00

61,062.50

2/11/2013
9/23/2019
61747YDC6
MORGAN STANLEY CORP BND
 
 
 
 
10,800,000.00

10,805,832.11

10,800,000.00

10,800,000.00

5,832.11




1.281

1.3

JAJO
23,817.30

35,693.69

1/5/2012
4/29/2013
61747YDD4
MORGAN STANLEY CORP BND
 
 
 
 
2,127,340.00

2,118,833.00

2,000,000.00

2,125,089.28

(6,256.28
)
(2,250.72
)


3.8

1.704

AO
32,088.89

(27,866.67
)
3/6/2013
4/29/2016
61747YDT9
MORGAN STANLEY SENIOR CORP BND
 
 
 
 
5,481,600.00

5,512,047.95

5,000,000.00

5,468,311.81

43,736.14

(15,417.77
)


4.75

2.271

MS
5,937.50

92,008.16

2/13/2013
3/22/2017
63254AAC2
NATIONAL AUSTRALIA BANK LIMITE SENIOR
 
 
E
 
3,297,888.00

3,353,094.76

3,300,000.00

3,298,334.75

54,760.01

171.18



1.6

1.622

FA
7,920.00

26,400.00

7/26/2012
8/7/2015
63254AAF5
NATIONAL AUSTRALIA BANK LIMITE SENIOR
 
 
E
 
4,326,340.75

4,318,276.18

4,325,000.00

4,326,323.75

(8,047.57
)
(17.00
)


0.9

0.889

JJ
7,460.63

(6,055.00
)
3/13/2013
1/20/2016
637071AL5
NATIONAL OILWELL VARCO INC SENIOR CORP
 
 
 
 
1,488,554.70

1,495,799.85

1,490,000.00

1,488,656.46

7,143.39

70.86



1.35

1.37

JD
7,319.63


11/15/2012
12/1/2017
637432MP7
NATIONAL RURAL UTILITIES COOP CORP BND
 
 
 
 
2,462,145.40

2,488,629.58

2,470,000.00

2,465,153.03

23,476.55

644.09



1

1.108

FA
4,048.06

12,350.00

1/26/2012
2/2/2015
63946BAB6
NBCUNIVERSAL MEDIA LLC CORP BND
 
 
 
 
577,289.62

574,660.10

542,000.00

567,591.22

7,068.88

(2,994.00
)


3.65

1.34

AO
8,297.87


6/7/2012
4/30/2015



63946CAB4
NBCUNIVERSAL ENTERPRISE INC SENIOR CORP
 
 
 
 
6,254,687.50

6,230,124.94

6,250,000.00

6,254,670.43

(24,545.49
)
(17.07
)


0.965

0.95

JAJO
2,183.55

(1,172.87
)
3/20/2013
4/15/2018
654740AD1
NISSAN MOTOR ACCEPTANCE CORP UNSECURED
 
 
 
 





40.21



1.8


MS
(115.50
)
1,617.00

3/11/2013
3/15/2018
665859AJ3
NORTHERN TRUST CORPORATION CORP BND
 
 
 
 
6,612,205.00

6,621,290.00

6,500,000.00

6,510,580.90

110,709.10

(6,872.31
)


5.5

5.056

FA
45,680.56

178,750.00

3/23/2009
8/15/2013
66989HAA6
NOVARTIS CAPITAL CORP CORP BND
 
 
 
 
1,623,326.25

1,675,765.00

1,625,000.00

1,624,686.82

51,078.18

87.83



4.125

4.148

FA
9,496.09

33,515.63

2/4/2009
2/10/2014
66989HAC2
NOVARTIS CAPITAL CORP CORP BND
 
 
 
 
10,233,100.00

10,484,481.00

10,000,000.00

10,231,267.18

253,213.82

(14,534.37
)


2.9

1.743

AO
126,472.22

(43,500.00
)
2/7/2013
4/24/2015
68389XAD7
ORACLE CORPORATION CORP BND
 
 
 
 
3,148,866.00

3,154,882.50

3,150,000.00

3,149,990.59

4,891.91

60.50



4.95

4.958

AO
71,898.75


4/2/2008
4/15/2013
68389XAF2
ORACLE CORPORATION CORP BND
 
 
 
 
5,306,790.00

5,210,144.05

5,000,000.00

5,205,616.01

4,528.04

(40,056.74
)


3.75

0.499

JJ
43,229.17

93,750.00

9/25/2012
7/8/2014
68389XAN5
ORACLE CORPORATION SENIOR CORP BND
 
 
 
 
9,319,634.30

9,346,691.92

9,340,000.00

9,320,856.09

25,835.83

830.14



1.2

1.247

AO
48,568.00

(8,048.33
)
2/7/2013
10/15/2017
69349LAH1
PNC BANK NATIONAL ASSOCIATION SENIOR
 
 
 
 
6,438,647.60

6,456,844.84

6,440,000.00

6,438,725.26

18,119.58

77.66



0.8

0.807

JJ
9,016.00


1/23/2013
1/28/2016
69349LAJ7
PNC BANK NATIONAL ASSOCIATION SENIOR
 
 
 
 
5,655,000.00

5,658,274.99

5,655,000.00

5,655,000.00

3,274.99




0.611

0.611

JAJO
6,041.66


1/23/2013
1/28/2016
69362BAS1
PSE&G POWER LLC CORP BND
 
 
 
 
1,099,885.31

1,127,938.00

1,000,000.00

1,059,988.80

67,949.20

(4,027.19
)


5.32

3.462

MS
2,364.44

26,600.00

9/15/2010
9/15/2016
69371RK70
PACCAR FINANCIAL CORP UNSECURED CORP BND
 
 
 
 
1,500,000.00

1,502,671.31

1,500,000.00

1,500,000.00

2,671.31




0.534

0.718

MJSD
600.86

2,106.00

6/5/2012
6/5/2014
69371RL20
PACCAR FINANCIAL CORP SENIOR CORP BND
 
 
 
 
2,906,042.40

2,909,482.49

2,910,000.00

2,906,229.90

3,252.59

187.50



0.8

0.846

FA
3,427.33


2/5/2013
2/8/2016
69371RL38
PACCAR FINANCIAL CORP SENIOR CORP BND
 
 
 
 
3,700,000.00

3,704,280.83

3,700,000.00

3,700,000.00

4,280.83




0.563

0.563

FMAN
3,008.92


2/5/2013
2/8/2016
694308GD3
PACIFIC GAS AND ELECTRIC CO CORP BND
 
 
 
 
2,108,259.00

1,972,896.73

1,900,000.00

1,957,783.70

15,113.03

(15,464.83
)


4.8

1.444

MS
7,600.00

45,600.00

10/19/2010
3/1/2014
709599AG9
PENSKE TRUCK LEASING CO SENIOR CORP BND
 
 
 
 
824,678.25

837,878.23

825,000.00

824,791.49

13,086.74

39.77



2.5

2.52

JJ
4,583.33

10,197.92

7/10/2012
7/11/2014
709599AJ3
PENSKE TRUCK LEASING COMPANY L SENIOR
 
 
 
 
8,529,435.00

8,730,808.41

8,500,000.00

8,529,626.33

201,182.08

(554.30
)


2.5

2.376

MS
9,444.45

83,645.84

2/21/2013
3/15/2016
709599AL8
PENSKE TRUCK LEASING COMPANY L SENIOR
 
 
 
 
4,762,867.50

4,848,686.29

4,750,000.00

4,762,544.56

86,141.73

(322.94
)


2.875

2.821

JJ
28,071.19

(2,795.14
)
1/29/2013
7/17/2018
713448BK3
PEPSICO INC CORP BND
 
 
 
 
5,388,552.00

5,560,475.64

5,400,000.00

5,397,738.52

162,737.12

596.82



3.75

3.797

MS
16,875.01

101,250.00

2/25/2009
3/1/2014
713448BQ0
PEPSICO INC CORP BND
 
 
 
 
3,998,240.00

4,011,759.60

4,000,000.00

3,999,664.11

12,095.49

146.17



0.875

0.89

AO
15,166.67


10/19/2010
10/25/2013
713448BX5
PEPSICO INC SENIOR CORP BND
 
 
 
 
999,560.00

1,003,708.04

1,000,000.00

999,716.29

3,991.75

134.18



0.75

0.765

MS
541.67

15,760.83

2/29/2012
3/5/2015
713448CE6
PEPSICO INC SENIOR CORP BND
 
 
 
 
4,798,320.00

4,796,382.20

4,800,000.00

4,798,368.59

(1,986.39
)
48.59



0.7

0.712

FA
2,893.33


2/25/2013
2/26/2016
713448CF3
PEPSICO INC SENIOR CORP BND
 
 
 
 
9,505,000.00

9,510,607.76

9,505,000.00

9,505,000.00

5,607.76




0.497

0.497

FMAN
4,195.71


2/25/2013
2/26/2016
717081DA8
PFIZER INC CORP BND
 
 
 
 
555,530.00

545,319.45

500,000.00

522,413.89

22,905.56

(2,746.23
)


5.35

2.971

MS
1,188.89

13,375.00

2/17/2010
3/15/2015
718172AB5
PHILIP MORRIS INTERNATIONAL IN CORP BND
 
 
 
 
6,108,095.00

6,158,443.12

6,125,000.00

6,124,532.10

33,911.02

935.77



4.875

4.938

MN
111,972.66


5/13/2008
5/16/2013
718172AG4
PHILIP MORRIS INTERNATIONAL IN CORP BND
 
 
 
 
11,795,398.50

11,281,454.03

10,625,000.00

11,151,363.76

130,090.27

(76,452.00
)


6.875

1.646

MS
28,407.12

203,719.63

3/4/2013
3/17/2014
718172AX7
PHILIP MORRIS INTERNATIONAL IN SENIOR
 
 
 
 
3,845,000.00

3,847,961.07

3,845,000.00

3,845,000.00

2,961.07




0.337

0.337

FMAN
1,008.12


2/26/2013
2/26/2015
718546AE4
PHILLIPS 66 SENIOR CORP BND
 
 
 
 
3,273,920.30

3,349,668.46

3,275,000.00

3,274,039.40

75,629.06

138.63



1.95

0.894

MS
4,612.29

8,822.38

1/24/2013
3/5/2015
718546AJ3
PHILLIPS 66 CORP BND
 
 
 
 
3,249,608.74

3,448,734.22

3,250,000.00

3,249,681.50

199,052.72

(2,726.93
)


2.95

1.542

MN
39,947.92

(15,221.18
)
1/24/2013
5/1/2017
74005PBE3
PRAXAIR INC SENIOR CORP BND
 
 
 
 
16,139,987.00

16,147,097.04

16,150,000.00

16,140,343.14

6,753.90

356.14



0.75

0.771

FA
13,458.33


2/13/2013
2/21/2016
740189AK1
PRECISION CASTPARTS CORP SENIOR CORP BND
 
 
 
 
6,215,538.00

6,220,994.46

6,225,000.00

6,216,042.92

4,951.54

453.96



1.25

1.281

JJ
21,830.73


12/17/2012
1/15/2018
742718DV8
PROCTER & GAMBLE COMPANY CORP BND
 
 
 
 
1,026,420.00

1,024,738.69

1,000,000.00

1,025,922.23

(1,183.54
)
327.79



1.45

0.671

FA
1,852.78

34,276.39

3/5/2013
8/15/2016
742718DX4
PROCTER & GAMBLE COMPANY CORP BND
 
 
 
 
1,960,000.00

1,959,353.26

1,960,000.00

1,960,000.00

(646.74
)



0.216

0.451

FMAN
633.57

1,165.82

2/1/2012
2/6/2014
74456QAW6
PUBLIC SERVICE ELECTRIC AND GA CORP BND
 
 
 
 
549,021.00

573,218.32

550,000.00

549,569.74

23,648.58

49.70



2.7

2.739

MN
6,187.50


5/17/2010
5/1/2015



74456QAY2
PUBLIC SERVICE ELECTRIC AND GA CORP BND
 
 
 
 
7,818,200.25

7,855,291.21

7,825,000.00

7,821,804.21

33,487.00

568.85



0.85

0.88

FA
8,498.82

33,256.25

9/12/2011
8/15/2014
761713AV8
REYNOLDS AMERICAN INC SENIOR CORP BND
 
 
 
 
748,942.50

749,878.29

750,000.00

749,088.49

789.80

86.44



1.05

1.098

AO
3,303.13


10/24/2012
10/30/2015
78355HJR1
RYDER SYSTEM INC. CORP BND MTN
 
 
 
 
1,871,662.50

1,975,043.96

1,875,000.00

1,872,624.09

102,419.87

130.57



3.5

3.533

JD
21,875.00


5/17/2011
6/1/2017
78355HJU4
RYDER SYSTEM INC SENIOR CORP BND MTN
 
 
 
 
4,994,450.00

5,020,669.15

5,000,000.00

4,994,531.36

26,137.79

81.36



2.35

2.37

FA
11,423.61


2/19/2013
2/26/2019
78387GAP8
AT&T INC CORP BND
 
 
 
 
1,061,005.47

1,064,414.98

1,000,000.00

1,024,030.43

40,384.55

(3,971.39
)


5.1

3.392

MS
2,266.67

25,500.00

11/12/2010
9/15/2014
828807CM7
SIMON PROPERTY GROUP LP SENIOR CORP BND
 
 
 
 
7,122,493.25

7,143,656.31

7,145,000.00

7,123,692.69

19,963.62

1,044.12



1.5

1.564

FA
30,961.67


12/10/2012
2/1/2018
857477AJ2
STATE STREET CORPORATION CORP BND
 
 
 
 
5,000,000.00

5,011,694.90

5,000,000.00

5,000,000.00

11,694.90




0.631

0.66

MJSD
2,191.32

8,256.25

3/2/2011
3/7/2014
863667AD3
STRYKER CORP SENIOR CORP BND
 
 
 
 
4,978,250.00

4,987,050.25

5,000,000.00

4,978,316.15

8,734.10

66.15



1.3

1.39

AO
1,083.33


3/20/2013
4/1/2018
871829AP2
SYSCO CORP CORP BND
 
 
 
 
1,241,487.50

1,250,099.28

1,250,000.00

1,243,744.96

6,354.32

1,254.80



0.55

0.78

JD
2,081.60

2,397.85

6/6/2012
6/12/2015
87612EAX4
TARGET CORPORATION CORP BOND
 
 
 
 
2,004,676.00

2,004,040.06

2,000,000.00

2,004,389.17

(349.11
)
(286.83
)


0.473

0.306

JAJO
1,918.28

(1,103.67
)
2/26/2013
7/18/2014
882508AS3
TEXAS INSTRUMENTS INC CORP BND
 
 
 
 
4,225,000.00

4,227,027.88

4,225,000.00

4,225,000.00

2,027.88




0.47

0.58

FMAN
2,482.71

5,290.63

2/22/2012
5/15/2013
882508AT1
TEXAS INSTRUMENTS INC SENIOR CORP BND
 
 
 
 
5,028,998.00

5,027,019.33

5,050,000.00

5,033,274.30

(6,254.97
)
1,696.65



0.45

0.593

FA
3,661.25

10,079.38

1/28/2013
8/3/2015
883556BA9
THERMO FISHER SCIENTIFIC CORP BND
 
 
 
 
648,869.00

673,004.75

650,000.00

649,221.97

23,782.78

54.54



2.25

2.287

FA
1,868.75

7,312.50

8/9/2011
8/15/2016
88579YAD3
3M CO CORP BND
 
 
 
 
5,032,167.00

5,193,712.22

5,075,000.00

5,044,740.28

148,971.94

2,087.95



1.375

1.551

MS
387.67

34,890.63

9/26/2011
9/29/2016
88732JAV0
TIME WARNER CABLE INC CORP BND
 
 
 
 
9,960,678.00

9,843,966.24

9,400,000.00

9,733,846.19

110,120.05

(44,330.28
)


3.5

1.529

FA
54,833.34

164,500.00

9/25/2012
2/1/2015
89233P5E2
TOYOTA MOTOR CREDIT CORP CORP BND MTN
 
 
 
 
3,481,835.00

3,623,873.86

3,500,000.00

3,487,250.91

136,622.95

878.46



2

2.11

MS
3,111.11

35,000.00

9/8/2011
9/15/2016
89233P6D3
TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
7,530,550.00

7,665,004.95

7,500,000.00

7,532,298.74

132,706.21

(398.91
)


1.75

1.641

MN
47,031.25

(10,572.92
)
2/13/2013
5/22/2017
89233P6S0
TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
4,991,950.00

4,999,185.20

5,000,000.00

4,992,129.35

7,055.85

179.35



1.25

1.286

AO
30,555.56

(24,479.17
)
2/21/2013
10/5/2017
89233P7H3
TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
2,595,000.00

2,595,025.92

2,595,000.00

2,595,000.00

25.92




0.472

0.472

JAJO
2,313.59


1/17/2013
1/23/2015
900212AG6
TURLOCK CORPORATION SENIOR CORP BND 144A
 
 
 
 
1,173,719.25

1,177,400.80

1,175,000.00

1,173,808.14

3,592.66

60.60



1.5

1.523

MN
6,413.55


11/14/2012
11/2/2017
904764AL1
UNILEVER CAPITAL CORP SENIOR CORP BND
 
 
 
 
845,520.00

843,846.80

800,000.00

844,347.73

(500.93
)
(1,172.27
)


2.75

0.784

FA
3,116.67

(1,466.67
)
2/27/2013
2/10/2016
904764AN7
UNILEVER CAPITAL CORP SENIOR CORP BND
 
 
 
 
2,988,090.00

2,993,315.52

3,000,000.00

2,990,709.47

2,606.05

980.06



0.45

0.584

JJ
2,287.50

6,675.00

7/30/2012
7/30/2015
904764AP2
UNILEVER CAPITAL CORP SENIOR CORP BND
 
 
 
 
8,102,912.00

8,146,627.91

8,200,000.00

8,115,436.10

31,191.81

4,699.22



0.85

1.094

FA
11,423.06

34,850.00

12/28/2012
8/2/2017
911312AL0
UNITED PARCEL SERVICE INC CORP BND
 
 
 
 
12,414,426.00

12,203,234.80

11,800,000.00

11,961,720.76

241,514.04

(39,253.09
)


3.875

2.478

AO
228,625.01


12/14/2011
4/1/2014
91159HGX2
US BANCORP CORP BND
 
 
 
 
999,020.00

1,037,968.90

1,000,000.00

999,529.81

38,439.09

48.60



2.45

2.471

JJ
4,355.56

12,250.00

7/22/2010
7/27/2015
91159HGY0
US BANCORP CORP BND
 
 
 
 
4,044,775.50

4,065,268.50

4,050,000.00

4,049,205.30

16,063.20

436.69



1.375

1.419

MS
2,784.38

27,843.75

9/8/2010
9/13/2013
913017BU2
UNITED TECH CORP SENIOR CORP BND
 
 
 
 
9,706,645.10

10,009,743.11

9,715,000.00

9,707,989.51

301,753.60

400.19



1.8

1.818

JD
57,318.50


11/8/2012
6/1/2017
913017BX6
UNITED TECH CORP SENIOR CORP BND
 
 
 
 
7,227,281.74

7,246,252.76

7,176,000.00

7,216,349.60

29,903.16

(4,572.93
)


0.787

0.691

MJSD
4,863.76

14,217.25

10/1/2012
6/1/2015
913017BY4
UNITED TECH CORP SENIOR CORP BND
 
 
 
 
7,046,562.00

7,106,011.50

7,000,000.00

7,044,755.05

61,256.45

(2,237.64
)


1.2

0.901

JD
28,000.00

(7,800.00
)
2/13/2013
6/1/2015
91913YAQ3
VALERO ENERGY CORPORATION CORP BND
 
 
 
 
1,531,485.00

1,598,056.88

1,500,000.00

1,513,071.40

84,985.48

(1,691.35
)


4.5

4.003

FA
11,250.00

33,750.00

5/20/2010
2/1/2015
92343VAC8
VERIZON COMMUNICATIONS INC CORP BND
 
 
 
 
2,261,852.00

2,250,544.74

2,000,000.00

2,258,463.77

(7,919.03
)
(3,388.23
)


5.55

0.973

FA
14,183.33

(10,175.00
)
3/13/2013
2/15/2016
92343VAZ7
VERIZON FLORIDA LLC CORP BND FRN
 
 
 
 
7,198,746.98

7,219,705.67

7,181,000.00

7,192,185.84

27,519.83

(2,783.34
)


0.894

0.815

MJSD
712.99

16,516.30

10/10/2012
3/28/2014
92343VBA1
VERIZON FLORIDA LLC CORP BND
 
 
 
 
2,233,397.61

2,200,151.57

2,169,000.00

2,198,953.97

1,197.60

(7,493.46
)


1.95

0.548

MS
352.46

21,147.75

2/7/2012
3/28/2014
92343VBF0
VERIZON FLORIDA LLC SENIOR CORP BND
 
 
 
 
5,638,022.00

5,559,208.69

5,650,000.00

5,638,957.94

(79,749.25
)
1,026.47



1.1

1.144

MN
24,860.00

20,319.44

3/22/2013
11/1/2017



92343VBK9
VERIZON FLORIDA LLC SENIOR CORP BND 144A
 
 
 
 
12,000,000.00

11,995,319.88

12,000,000.00

12,000,000.00

(4,680.12
)



0.481

0.481

MJSD
4,009.17


3/4/2013
3/6/2015
92344GAW6
VERIZON FLORIDA LLC CORP BND
 
 
 
 
6,784,125.00

6,856,370.94

6,250,000.00

6,497,290.58

359,080.36

(23,864.11
)


4.9

3.21

MS
13,611.11

153,125.00

2/17/2010
9/15/2015
92344SAJ9
CELLCO PARTNERSHIP/VERIZON WIR CORP BND
 
 
 
 
6,369,194.90

5,755,633.71

5,529,000.00

5,680,687.96

74,945.75

(60,013.77
)


7.375

2.885

MN
154,044.09


11/8/2012
11/15/2013
92344SAP5
CELLCO PARTNERSHIP/VERIZON WIR CORP BND
 
 
 
 
15,246,234.80

15,631,983.50

15,050,000.00

15,103,781.55

528,201.95

(15,872.99
)


5.55

5.104

FA
139,212.50

417,637.50

2/22/2012
2/1/2014
927804FM1
VIRGINIA ELECTRIC AND POWER CO SENIOR
 
 
 
 
6,003,420.00

6,007,182.78

6,000,000.00

6,003,594.98

3,587.80

174.98



1.2

1.186

JJ
16,600.00

(5,600.00
)
2/27/2013
1/15/2018
92976WBA3
WACHOVIA CORPORATION CORP BND MTN
 
 
 
 
527,500.00

508,750.00

500,000.00

501,884.78

6,865.22

(1,372.11
)


5.7

4.556

FA
4,750.00

14,250.00

1/31/2008
8/1/2013
92976WBJ4
WACHOVIA CORPORATION CORP BND MTN
 
 
 
 
427,674.40

401,616.00

400,000.00

400,688.25

927.75

(2,064.78
)


5.5

3.389

MN
9,166.67


10/29/2009
5/1/2013
931142BY8
WAL-MART STORES INC CORP BND
 
 
 
 
4,448,840.00

4,353,143.32

4,000,000.00

4,363,121.53

(9,978.21
)
(39,902.61
)


4.5

0.443

JJ
45,000.00

90,000.00

9/13/2012
7/1/2015
931142CR2
WAL-MART STORES INC CORP BND
 
 
 
 
993,090.00

1,046,257.40

1,000,000.00

997,110.96

49,146.44

343.96



2.875

3.025

AO
14,375.00


3/24/2010
4/1/2015
931142CT8
WAL-MART STORES INC CORP BND
 
 
 
 
4,188,920.00

4,160,865.16

4,000,000.00

4,135,914.70

24,950.46

(14,737.90
)


2.25

0.738

JJ
20,750.00

45,000.00

5/3/2012
7/8/2015
931142CX9
WAL-MART STORES INC CORP BND
 
 
 
 
1,665,938.25

1,715,657.14

1,675,000.00

1,670,259.16

45,397.98

446.19



1.5

1.613

AO
10,887.50


10/18/2010
10/25/2015
931142DC4
WAL-MART STORES INC CORP BND
 
 
 
 
1,664,281.50

1,647,879.82

1,550,000.00

1,649,907.94

(2,028.12
)
(8,034.91
)


2.8

0.654

AO
20,012.22


10/17/2012
4/15/2016
931422AD1
WALGREEN CO CORP BND
 
 
 
 
4,357,893.75

4,436,862.50

4,375,000.00

4,373,732.44

63,130.06

922.16



4.875

4.963

FA
35,546.88

106,640.63

7/14/2008
8/1/2013
949746NA5
WELLS FARGO & COMPANY CORP BND
 
 
 
 
253,705.26

256,020.84

257,000.00

254,264.87

1,755.97

258.51



0.501

1.061

JAJO
225.10

333.43

9/13/2012
10/28/2015
94974BEU0
WELLS FARGO & COMPANY CORP BND
 
 
 
 
5,656,604.00

5,866,865.15

5,550,000.00

5,611,338.68

255,526.47

(7,251.14
)


3.625

3.057

AO
92,769.80


1/5/2012
4/15/2015
94974BEZ9
WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
2,992,320.00

3,164,946.45

3,000,000.00

2,994,224.06

170,722.39

366.31



2.625

2.68

JD
23,187.50


12/5/2011
12/15/2016
94974BFA3
WELLS FARGO & COMPANY CORP BND
 
 
 
 
8,853,380.00

8,898,393.77

8,800,000.00

8,841,219.58

57,174.19

(5,383.50
)


1.25

0.996

FA
14,666.67

55,000.00

10/2/2012
2/13/2015
94974BFE5
WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
22,597,445.87

22,878,695.66

22,526,000.00

22,597,353.06

281,342.60

(3,159.45
)


1.5

1.356

JJ
84,472.50

124,369.33

2/13/2013
7/1/2015
94974BFF2
WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
2,231,519.40

2,228,753.98

2,200,000.00

2,229,850.37

(1,096.39
)
(1,669.03
)


1.205

0.627

MJSD
441.69

3,006.66

2/11/2013
6/26/2015
94974BFG0
WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
3,992,800.00

3,993,749.40

4,000,000.00

3,993,159.74

589.66

341.27



1.5

1.537

JJ
15,833.33


12/18/2012
1/16/2018
959802AQ2
WESTERN UNION CO/THE SENIOR CORP BND
 
 
 
 
2,041,237.20

2,050,207.51

2,045,000.00

2,041,611.53

8,595.98

300.80



2.375

2.439

JD
14,975.36


12/5/2012
12/10/2015
959802AR0
WESTERN UNION CO/THE SENIOR CORP BND
 
 
 
 
4,975,300.00

5,037,384.80

5,000,000.00

4,976,720.78

60,664.02

1,141.70



2.875

2.982

JD
44,322.92


12/5/2012
12/10/2017
983024AE0
WYETH CORP BND
 
 
 
 
4,571,377.50

4,322,930.50

4,150,000.00

4,314,270.32

8,660.18

(67,765.11
)


5.5

0.746

FA
38,041.66

325,569.45

3/26/2012
2/1/2014
984121CF8
XEROX CORPORATION SENIOR CORP BND
 
 
 
 
1,298,375.00

1,339,041.46

1,300,000.00

1,298,695.54

40,345.92

103.72



2.95

2.977

MS
1,704.44

34,939.06

3/8/2012
3/15/2017
98978VAD5
ZOETIS INC SENIOR CORP BND 144A
 
 
 
 
5,025,650.00

5,026,997.40

5,000,000.00

5,024,817.39

2,180.01

(819.21
)


1.15

0.972

FA
10,062.50

(2,484.32
)
2/20/2013
2/1/2016
98978VAF0
ZOETIS INC SENIOR CORP BND 144A
 
 
 
 
4,687,326.70

4,722,721.80

4,690,000.00

4,687,413.06

35,308.74

86.36



1.875

1.887

FA
15,389.07


1/16/2013
2/1/2018
BRS1D0A10
SUNGARD DATA SYST INC. TERM LOAN
 
 
 
 
875,281.01

901,731.29

895,485.28

887,803.68

13,927.61

8,259.69




0.933

FMAN

14,991.59

9/30/2011
00/00/0000
BRS29NQV0
HELIX ENERGY SOLUTIONS TERM LOAN
 
 
 
 





547.16





JAJO

6,822.86

00/00/0000
00/00/0000
BRS38FMB4
UNITED AIR LINES INC. TERM LOAN
 
 
 
 





3,190.94





FMAN

7,960.92

00/00/0000
00/00/0000
BRS3FZ588
MITCHELL INTERNATIONAL INC SENIOR
 
 
 
 
2,686,309.61

2,695,268.45

2,686,309.61

2,686,309.61

8,958.84






MJSD

5,704.01

2/5/2013
3/28/2016
BRS448NT2
COMMUNITY HLTH SYST INC TERM LOAN
 
 
 
 





1,283.98





JAJO

592.00

00/00/0000
00/00/0000
BRS4QJJM4
DOLLAR GENERAL CORP LN1 TERM LOAN
 
 
 
 
2,000,000.00

2,011,590.00

2,000,000.00

2,000,000.00

11,590.00






JAJO

14,286.88

6/21/2011
00/00/0000
BRS4QJKV2
FREESCALE SEMICONDUCTOR INC. TERM LOAN
 
 
 
 





45,430.79





MJSD

49,787.63

00/00/0000
00/00/0000
BRS5BXCY7
ALLISON TRANSMISSION INC LN1 TERM LOAN
 
 
 
 





851.77





FMAN

1,772.05

00/00/0000
00/00/0000



BRS5NEVC3
SEQUA CORP TERM LOAN
 
 
 
 










MJSD

7,560.00

00/00/0000
00/00/0000
BRS8ABJG2
CABLEVISION SYSTEMS CORPORATIO TERM LOAN
 
 
 
 
4,849,488.63

4,903,321.58

4,869,091.86

4,855,359.34

47,962.24

1,087.50




0.092

FMAN

25,319.37

12/2/2011
00/00/0000
BRS8CFLV5
SUNGARD DATA SYST INC. TERM LOAN
 
 
 
 





12,363.16





FMAN

3,859.92

00/00/0000
00/00/0000
BRS8R3U20
HUNTSMAN INTL LLC TERM LOAN
 
 
 
 
5,825,816.32

5,910,200.82

5,877,551.02

5,844,880.35

65,320.47

2,471.17




0.169

FMAN

42,273.24

5/13/2011
00/00/0000
BRS9LY573
CINEMARK USA INC TERM LOAN
 
 
 
 










JAJO

5,037.01

00/00/0000
00/00/0000
BRS9NN9D8
CHARTER COMMUNICATIONS HOLDING TERM LOAN
 
 
 
 
1,024,625.72

1,090,512.19

1,082,125.72

1,042,570.16

47,942.03

2,467.63




1.07

MJSD

23,192.52

8/15/2011
00/00/0000
BRS9PGQM2
ARAMARK CORPORATION LOAN TERM
 
 
 
 
216,407.28

217,727.60

215,973.89

216,276.51

1,451.09

(22.49
)



0.587

JAJO

3,660.52

11/1/2011
00/00/0000
BRS9PGR33
ARAMARK CORPORATION LOAN TERM
 
 
 
 
3,184,500.77

3,310,692.40

3,284,026.11

3,211,771.38

98,921.02

5,271.15




0.652

JAJO

27,906.37

8/19/2011
00/00/0000
BRS9SHAY8
HCA-THE HEALTHCARE CO LN1 TERM LOAN
 
 
 
 
3,651,562.50

3,787,500.00

3,750,000.00

3,666,288.30

121,211.70

5,559.04




0.557

FMAN

60,376.29

6/28/2012
3/31/2017
BRS9U2FN7
CABLEVISION SYSTEMS CORPORATIO TERM LOAN
 
 
 
 
1,370,278.45

1,482,737.08

1,473,417.71

1,405,391.68

77,345.40

5,648.96




1.563

FMAN

27,154.44

8/11/2011
3/29/2016
BRS9W7N54
MCC IOWA LLC TERM LOAN
 
 
 
 
1,935,250.60

1,967,755.05

1,949,874.70

1,939,766.07

27,988.98

571.96




0.112

MJSD

21,259.42

12/17/2010
00/00/0000
BRS9XUH75
LIVE NATION ENTERTAINMENT INC TERM LOAN
 
 
 
 
538,124.92

546,237.36

540,829.07

538,504.84

7,732.52

165.88




0.118

FMAN

5,896.64

8/29/2012
11/3/2016
BRS9YEPB2
UPC FINANCING PARTNERSHIP TERM LOAN
 
 
 
 
1,992,500.00

2,014,750.00

2,000,000.00

1,994,577.04

20,172.96

283.48




0.056

JAJO

18,130.20

5/27/2011
00/00/0000
BRSABN7U2
DEAN FOODS CO. SENIOR SECURED TERM LOAN
 
 
 
 





4,820.03





MJSD

3,429.93

00/00/0000
00/00/0000
BRSAGFDE3
CHEMTURA CORPORATION SECURED TERM LOAN
 
 
 
 










FMAN

1,173.33

00/00/0000
00/00/0000
BRSAHW6G8
LAS VEGAS SANDS LLC TERM LOAN
 
 
 
 





75.90





FMAN

670.49

00/00/0000
00/00/0000
BRSAHW876
LAS VEGAS SANDS LLC TERM LOAN
 
 
 
 





432.00





FMAN

3,756.06

00/00/0000
00/00/0000
BRSAUE236
DAVITA HEALTHCARE PARTNERS INC TERM LOAN
 
 
 
 
4,934,493.68

5,008,586.26

4,949,367.08

4,937,137.01

71,449.25

874.61




0.069

JAJO

53,962.03

6/15/2012
10/20/2016
BRSAWQ120
UNIVISION COMMUN INC. TERM LOAN
 
 
 
 
2,711,140.62

2,861,444.49

2,843,671.54

2,738,638.60

122,805.89

54,123.53




0.923

MJSD

44,692.55

11/15/2012
3/31/2017
BRSAZTC86
COMMUNITY HLTH SYST INC TERM LOAN
 
 
 
 
7,730,573.15

7,891,786.45

7,799,171.29

7,751,757.51

140,028.94

3,030.44




0.157

JAJO

74,232.78

8/9/2012
1/25/2017
BRSB5UM91
TW TELECOM INC TERM LOAN
 
 
 
 
974,026.00

979,017.88

974,026.00

974,026.00

4,991.88






MJSD

8,174.60

1/18/2011
00/00/0000
BRSB98L97
CENVEO CORP TERM LOAN
 
 
 
 
401,713.63

407,222.85

405,196.87

402,670.07

4,552.78

173.56




0.166

MJSD

7,109.05

11/1/2011
12/21/2016
BRSB9FG89
ADVANTAGE SALES & MARKETING IN TERM LOAN
 
 
 
 
3,646,892.69

3,757,681.56

3,710,136.17

3,660,439.70

97,241.86

2,598.00




0.281

MJSD

63,533.91

6/15/2012
12/18/2017
BRSB9YU33
AMC ENTERTAINMENT INC. TERM LOAN
 
 
 
 
564,942.19

608,308.64

602,604.98

574,999.87

33,308.77

1,845.74




1.247

JAJO

6,205.93

9/6/2011
00/00/0000
BRSBAXKS9
REMY INTERNATIONAL INC TERM LOAN
 
 
 
 
1,101,819.26

1,145,164.30

1,130,563.08

1,110,160.59

35,003.71

1,404.76




0.484

MJSD

19,094.58

9/29/2011
00/00/0000
BRSBBKBD9
UCI INTERNATIONAL TL B TERM LOAN
 
 
 
 
165,786.27

167,081.89

165,786.27

165,786.27

1,295.62






JAJO

2,214.40

1/20/2011
00/00/0000
BRSBDPXK6
JPMORGAN CHASE & CO CORP BND EMTN
 
 
O
 
497,549.09

499,101.27

300,000.00

492,830.01

6,271.26

(868.90
)

(23,652.75
)
4.25

3.407

JJ
3,385.29

9,864.36

11/9/2011
1/25/2017
BRSBGXH81
DEL MONTE FOODS CO TERM LOAN
 
 
 
 
4,169,905.51

4,253,906.97

4,208,851.22

4,177,970.57

75,936.40

1,502.62




0.145

MJSD
1,241.20

62,766.08

7/27/2012
3/8/2018
BRSBH14P6
HOUGHTON INTERNATIONAL INC LN1 TERM LOAN
 
 
 
 
987,525.00

1,014,647.03

997,500.00

988,238.76

26,408.27

738.76




0.325

JAJO

11,850.74

12/13/2012
1/29/2016
BRSBH1FB5
TWCC HOLDING CORP TERM LOAN
 
 
 
 
4,719,865.33

4,863,939.13

4,791,208.59

4,738,270.67

125,668.46

3,321.82




0.281

FMAN

26,018.93

6/1/2012
2/13/2017
BRSBH8VK2
VERTAFORE INC TERM LOAN
 
 
 
 
2,934,676.36

2,978,934.40

2,942,157.43

2,936,268.11

42,666.29

435.57




0.059

FMAN

53,588.40

3/13/2012
7/29/2016
BRSBHFX32
AXCAN INTER HLDG TERM LOAN
 
 
 
 
4,388,002.06

4,494,887.05

4,448,181.15

4,399,009.34

95,877.71

3,321.27




0.283

FMAN

59,274.94

5/18/2012
2/10/2017
BRSBHPM99
TRANSUNION CORP TERM LOAN
 
 
 
 
2,816,050.74

2,949,578.24

2,904,800.74

2,837,304.36

112,273.88

3,365.75




0.476

MJSD

35,978.93

8/29/2011
2/12/2018
BRSBK2348
GYMBOREE CORP TERM LOAN
 
 
 
 
2,306,473.92

2,372,454.12

2,441,776.14

2,334,565.34

37,888.78

5,200.99




0.896

FMAN

30,861.34

8/24/2012
2/23/2018



BRSBK71J6
SEAWORLD PARKS & ENTERTAINMENT LN1 TERM
 
 
 
 
1,443,869.30

1,453,492.69

1,443,869.30

1,443,869.30

9,623.39






MJSD

13,993.68

8/15/2012
8/17/2017
BRSBK9AU7
TRANSDIGM GROUP INC TERM LOAN
 
 
 
 
4,719,773.34

4,845,309.71

4,828,410.27

4,750,117.98

95,191.73

4,894.93




0.414

FMAN

40,553.52

2/25/2013
2/14/2017
BRSBLLNC5
REGAL CINEMAS CORP
 
 
 
 
4,803,614.72

4,855,582.75

4,807,079.32

4,803,303.62

52,279.13

168.35




0.018

FMAN

37,711.09

7/24/2012
8/23/2017
BRSBLUUU7
MICHAEL FOODS INC. TERM LOAN
 
 
 
 
2,048,198.32

2,063,426.56

2,030,432.04

2,042,949.03

20,477.53

(811.26
)



(0.124
)
MJSD

21,041.37

3/2/2011
00/00/0000
BRSBLZKK9
NBTY INC TERM LOAN
 
 
 
 
1,897,464.06

1,981,801.47

1,954,371.86

1,912,195.92

69,605.55

2,268.18




0.477

FMAN

38,001.68

8/17/2011
00/00/0000
BRSBMD3R1
PETCO ANIMAL SUPPLIES INC. TERM LOAN
 
 
 
 
4,871,947.60

5,011,859.73

4,936,868.69

4,888,191.84

123,667.89

2,534.47




0.207

FMAN

50,240.45

8/15/2011
00/00/0000
BRSBNH1C6
DINEEQUITY INC
 
 
 
 
2,968,544.82

3,022,696.67

2,972,535.14

2,961,870.93

60,825.74

(5,675.56
)



(0.223
)
JAJO

27,831.95

6/12/2012
10/19/2017
BRSBNJXW3
UNIVR INC TERM LOAN
 
 
 
 
8,821,176.46

8,995,830.07

8,892,411.33

8,824,001.44

171,828.63

2,078.89




0.179

MJSD

24,906.38

2/19/2013
6/30/2017
BRSBNUWH2
HDTFS TERM LOAN
 
 
 
 
7,865,676.00

8,007,176.22

7,985,575.23

7,890,251.93

116,924.29

4,750.89




0.238

MJSD

72,553.90

9/17/2012
3/9/2018
BRSBPZM15
NOVELIS INC/GA TERM LOAN
 
 
 
 
6,419,767.72

6,677,701.40

6,576,975.02

6,455,264.80

222,436.60

6,957.49




0.466

MJSD

58,016.80

3/5/2013
3/10/2017
BRSBQ1JW5
CALPINE CORP SECURED TERM LOAN
 
 
 
 
4,829,849.04

4,981,459.19

4,909,849.04

4,847,318.35

134,140.84

3,037.57




0.25

MJSD

69,897.49

5/18/2012
3/30/2018
BRSBQFU50
IMS HEALTH INCORPORATED TERM LOAN
 
 
 
 
10,187,290.45

10,328,873.69

10,205,136.41

10,189,702.63

139,171.06

875.51




0.034

FMAN

115,257.67

10/16/2012
8/25/2017
BRSBR4P35
JO-ANN STORES TERM LOAN
 
 
 
 
2,076,162.81

2,123,348.33

2,097,134.15

2,082,226.92

41,121.41

927.73




0.142

MJSD

17,066.71

3/15/2011
3/16/2018
BRSBRMCQ8
WARNER CHILCOTT CORP TERM LOAN
 
 
 
 
2,514,632.27

2,578,301.56

2,533,173.08

2,517,070.73

61,230.83

14,751.01




0.127

MJSD

29,897.64

8/15/2012
3/15/2018
BRSBRMD53
WARNER CHILCOTT CORP TERM LOAN
 
 
E
 
890,896.20

913,619.66

897,628.41

891,699.85

21,919.81

10,029.74




0.132

MJSD

11,276.22

8/15/2012
3/15/2018
BRSBRMD95
WARNER CHILCOTT CORP TERM LOAN
 
 
E
 
1,956,582.20

2,031,731.81

1,996,170.04

1,964,124.16

67,607.65

1,565.64




0.32

MJSD

20,554.64

8/20/2012
3/15/2018
BRSBRMFR3
METROPCS WIRELESS INC TERM LOAN
 
 
 
 
6,998,954.32

7,154,267.19

7,116,160.15

7,026,139.87

128,127.32

4,444.81




0.25

FMAN

69,409.66

3/8/2012
3/19/2018
BRSBT2DD8
FIRST DATA CORP TERM LOAN
 
 
 
 
5,610,000.00

5,989,890.00

6,000,000.00

5,687,527.02

302,362.98

13,419.98




1.016

MJSD

38,778.84

1/30/2013
3/23/2018
BRSBT4DY8
SERENA SOFTWARE TERM LOAN
 
 
 
 
2,983,750.00

3,018,750.00

3,000,000.00

2,989,957.77

28,792.23

839.90




0.112

MJSD

32,247.78

6/2/2011
00/00/0000
BRSBUXKY4
KINDRED HEALTHCARE INC. TERM LOAN
 
 
 
 
2,485,508.94

2,512,727.17

2,490,413.07

2,486,777.86

25,949.31

488.01




0.028

MJSD

56,883.04

5/19/2011
00/00/0000
BRSBW6C87
AMERISTAR CASINOS INC. TERM LOAN
 
 
 
 
1,836,183.94

1,904,085.67

1,884,645.55

1,847,559.15

56,526.52

1,788.03




0.388

JAJO

31,005.74

8/15/2011
00/00/0000
BRSBWG6S8
DELTA AIR LINES INC TERM LOAN
 
 
 
 
5,343,613.02

5,505,819.93

5,422,449.76

5,366,389.30

139,430.63

3,389.08




0.253

JAJO

99,411.59

2/29/2012
4/20/2017
BRSBXUEK4
HUBBARD RADIO TERM LOAN
 
 
 
 
1,263,091.97

1,330,984.13

1,314,552.23

1,275,902.39

55,081.74

2,292.28




0.72

JAJO

16,678.37

9/30/2011
00/00/0000
BRSBYALT0
EMERGENCY MEDICAL SVCS CORP TERM LOAN
 
 
 
 
5,673,351.21

5,774,901.21

5,701,860.38

5,678,667.24

96,233.97

1,163.49




0.078

FMAN

55,230.57

6/25/2012
5/25/2018
BRSBZBVS8
RANPAK CORP TERM LOAN
 
 
 
 
2,561,496.47

2,551,371.29

2,549,242.67

2,557,658.16

(6,286.87
)
(490.19
)



(0.08
)
JAJO

29,337.83

5/19/2011
00/00/0000
BRSBZZDX4
GOLDEN LIVING LN1 TERM LOAN
 
 
 
 
4,866,957.92

4,905,903.83

5,060,058.51

4,910,569.48

(4,665.65
)
7,027.34




0.568

FMAN

61,302.84

10/4/2011
00/00/0000
BRSC0XRZ5
NORTEK INC TERM LOAN
 
 
 
 
585,210.28

591,986.71

585,942.71

585,426.30

6,560.41

31.26




0.021

JAJO

7,690.50

7/8/2011
4/26/2017
BRSC103Q2
KAR AUCTION SERVICES INC TERM LOAN
 
 
 
 
2,211,411.14

2,254,639.23

2,222,523.76

2,214,822.13

39,817.10

703.55




0.083

FMAN

61,854.80

5/16/2011
00/00/0000
BRSC10473
AEROFLEX INCORPORATED TERM LOAN
 
 
 
 
2,448,691.25

2,490,487.09

2,458,222.91

2,448,996.04

41,491.05

602.85




0.072

FMAN

62,536.59

7/20/2012
5/9/2018
BRSC106K2
DELPHI CORP LN1 TERM LOAN
 
 
 
 





1,475.95





MJSD

4,357.45

00/00/0000
00/00/0000
BRSC106T3
HCA-THE HEALTHCARE CO Term loan
 
 
 
 
3,927,500.00

4,040,500.00

4,000,000.00

3,941,758.68

98,741.32

2,787.93




0.283

FMAN

22,662.25

1/10/2012
00/00/0000
BRSC2UZX5
SENSATA TECHNOLOGIES FINANCE C TERM LOAN
 
 
 
 
5,943,208.37

6,085,146.42

6,005,661.49

5,955,236.68

129,909.74

2,385.26




0.161

FMAN

58,697.72

7/23/2012
5/14/2018
BRSC3CCP6
MANITOWOC CO INC TERM LOAN
 
 
 
 
90,070.58

91,767.89

90,523.20

90,200.79

1,567.10

42.22




0.076

FMAN

1,283.26

5/9/2011
11/13/2017
BRSC3G4F8
NEIMAN MARCUS GROUP INC. THE TERM LOAN
 
 
 
 
6,977,500.00

7,073,220.00

7,000,000.00

6,981,374.59

91,845.41

894.38




0.051

FMAN

73,337.08

11/30/2012
5/16/2018



BRSC4H8Q7
EPICOR SOFTWARE CORP TERM LOAN
 
 
 
 
6,538,569.51

6,696,091.76

6,605,269.30

6,552,850.42

143,241.34

2,708.81




0.153

FMAN

78,082.34

8/6/2012
5/16/2018
BRSC4TTL9
SENSUS METERING TERM LOAN
 
 
 
 





51.50





FMAN

3,994.07

00/00/0000
00/00/0000
BRSC529Z8
DUNKIN BRANDS INC SENIOR SECURED TERM
 
 
 
 





(133.02
)




FMAN

65,498.81

00/00/0000
00/00/0000
BRSC6D3K2
QUINTILES TRANSNATIONAL CORP. TERM LOAN
 
 
 
 
2,397,715.24

2,561,634.33

2,524,548.71

2,427,111.85

134,522.48

7,452.96




0.745

MJSD

30,645.77

12/14/2012
6/8/2018
BRSC8PGF0
ENDO HEALTH SOLUTIONS INC TERM LOAN
 
 
 
 
259,500.02

260,743.03

259,500.02

259,500.02

1,243.01






MJSD

6,945.37

6/7/2011
00/00/0000
BRSC9PVC9
PENN NTL GAMING INC TERM LOAN
 
 
 
 
4,258,440.22

4,301,769.85

4,258,440.22

4,258,440.22

43,329.63






JAJO

15,682.55

10/22/2012
7/16/2018
BRSC9TBB5
NRG ENERGY INC TERM LOAN
 
 
 
 
7,171,456.97

7,400,569.73

7,291,560.89

7,197,993.56

202,576.17

4,369.62




0.241

MJSD

76,037.24

7/24/2012
7/1/2018
BRSCAHX41
CALPINE CORP TERM LOAN
 
 
 
 
3,998,038.12

4,087,002.03

4,028,250.00

4,005,753.99

81,248.04

1,164.98




0.11

JAJO

41,618.99

6/10/2011
4/2/2018
BRSCAXFG9
US SILICA CO TERM LOAN
 
 
 
 
486,346.71

490,512.96

487,565.63

486,708.82

3,804.14

52.70




0.041

MJSD

5,675.58

6/8/2011
6/8/2017
BRSCB27N0
WARNACO GROUP INC. THE TERM LOAN
 
 
 
 





8,296.60





MJSD

25,369.05

00/00/0000
00/00/0000
BRSCC0RV3
DUCOMMUN INC TERM LOAN
 
 
 
 
355,644.48

365,972.54

359,236.85

356,681.97

9,290.57

277.51




0.166

MJSD

5,005.71

6/17/2011
6/30/2017
BRSCDKB78
SBA SENIOR FINANCE II LLC TERM LOAN
 
 
 
 
2,646,118.12

2,685,909.38

2,652,750.00

2,647,755.65

38,153.73

247.66




0.035

MJSD

24,932.81

6/27/2011
6/30/2018
BRSCDQTK7
ASHLAND INC. TERM LOAN
 
 
 
 





1,713.52





MJSD

12,002.72

00/00/0000
00/00/0000
BRSCDUPD8
TEAM HLTH INC. TERM LOAN
 
 
 
 
3,812,591.26

3,870,067.51

3,831,750.01

3,817,307.97

52,759.54

715.86




0.071

MJSD

34,813.59

6/28/2011
6/29/2018
BRSCE52V7
ALERE INC
 
 
 
 
4,469,362.58

4,543,877.85

4,498,087.32

4,475,939.23

67,938.62

1,302.81




0.115

MJSD

53,633.44

6/26/2012
6/30/2017
BRSCEALQ6
MERCURY PAYMENT SYSTEMS TERM LOAN
 
 
 
 
4,702,408.74

4,805,777.64

4,734,756.30

4,711,771.74

94,005.90

1,448.62




0.113

JAJO

60,338.92

10/23/2012
6/30/2017
BRSCFRW37
PRO MACH INC TL B TERM LOAN
 
 
 
 





191.24





JAJO

10,537.54

00/00/0000
00/00/0000
BRSCFYSD5
CONSOLIDATED COMMUNICATIONS IN SENIOR
 
 
 
 
997,474.75

1,004,332.39

997,474.75

997,474.75

6,857.64






JAJO

6,548.88

1/8/2013
12/29/2017
BRSCHJ8S5
CUMULUS MED INC. TERM LOAN
 
 
 
 










MJSD

10,729.26

00/00/0000
00/00/0000
BRSCJS5P2
CAPSUGEL HEALTHCARE LTD TERM LOAN
 
 
 
 
1,888,000.01

1,922,814.73

1,888,000.01

1,888,000.01

34,814.72






FMAN

21,803.86

8/13/2012
8/1/2018
BRSCJU296
NUANCE COMMUNICATIONS INC TERM LOAN
 
 
 
 
966,078.74

982,833.01

975,013.40

968,935.31

13,897.70

514.34




0.206

MJSD

7,867.71

11/1/2011
00/00/0000
BRSCL92L3
OM GROUP INC. TERM LOAN
 
 
 
 
502,202.25

512,347.75

507,275.00

503,590.34

8,757.41

214.40




0.165

FMAN

514,432.47

7/28/2011
00/00/0000
BRSD1YF59
MICROSEMI CORPORATION TERM LOAN
 
 
 
 
3,622,599.93

3,706,243.39

3,665,918.29

3,629,188.01

77,055.38

1,605.16




0.144

JAJO

36,466.41

7/25/2012
2/19/2020
BRSD4PTL5
KINETIC CONCEPTS INC / KCI USA TERM LOAN
 
 
 
 





4,249.42





FMAN

25,866.27

00/00/0000
00/00/0000
BRSD7SFZ0
CB RICHARD ELLIS SERV INC. TERM NOTES
 
 
 
 
500,000.00

500,312.50

500,000.00

500,000.00

312.50

8,977.17





MJSD

20,825.28

3/26/2013
9/4/2019
BRSD9CAS4
HEALTH MGMT ASSOC INC TERM LOAN
 
 
 
 
5,831,269.99

5,936,654.90

5,872,643.09

5,836,967.99

99,686.91

2,695.57




0.107

FMAN

73,246.52

6/11/2012
11/16/2018
BRSDALFV0
ENTERCOM RADIO LLC TERM LOAN
 
 
 
 
1,035,944.20

1,078,063.79

1,057,085.92

1,039,950.56

38,113.23

1,586.48




0.286

FMAN

13,870.16

11/17/2011
00/00/0000
BRSDCHKT6
B&G FOODS INC TERM LOAN
 
 
 
 





(2.60
)




FMAN

(1,687.50
)
00/00/0000
00/00/0000
BRSDFK6A3
NOVELIS INC/GA TERM LOAN
 
 
 
 





537.14





MJSD

4,669.78

00/00/0000
00/00/0000
BRSDKUDY5
SIX FLAGS THEME PARKS INC TERM LOAN
 
 
 
 
4,712,686.96

4,800,320.84

4,726,888.63

4,714,229.36

86,091.48

626.15




0.046

MJSD

47,841.51

7/25/2012
12/20/2018
BRSDPAC33
ALERE INC SENIOR SEC TERM NOTES
 
 
 
 
981,315.79

1,002,584.65

992,481.19

982,945.58

19,639.07

537.24




0.222

MJSD

12,047.62

6/26/2012
7/14/2017
BRSDTEYU7
CROWN CASTLE OPERATING CO TERM LOAN
 
 
 
 





1,260.93





JAJO

20,097.00

00/00/0000
00/00/0000
BRSDU55R3
PRESTIGE BRANDS HOLDINGS INC TERM LOAN
 
 
 
 
464,890.16

479,861.01

471,969.68

466,041.47

13,819.54

561.04




0.214

MJSD

5,479.28

1/27/2012
1/31/2019
BRSDVRW37
GENESYS TELECOMMUNICATIONS LAB TERM LOAN
 
 
 
 





260.20





JAJO

31,388.84

00/00/0000
00/00/0000



BRSDWEX75
GRIFOLS INC SECURED TERM LOAN
 
 
 
 
5,174,181.98

5,257,451.58

5,199,271.73

5,177,914.43

79,537.15

1,356.58




0.097

JAJO

53,648.91

8/6/2012
6/1/2017
BRSDYT4C1
CEQUEL COMMUNICATIONS LLC TERM LOAN
 
 
 
 
7,930,022.56

8,109,483.16

8,021,487.44

7,943,364.82

166,118.34

3,432.80




0.164

MJSD

77,762.39

10/31/2012
2/14/2019
BRSE0V753
AMC ENTERTAINMENT INC. TERM LOAN
 
 
 
 
7,087,099.13

7,197,318.96

7,132,237.30

7,095,067.71

102,251.25

2,018.81




0.105

MJSD

82,079.41

6/12/2012
2/22/2018
BRSE47ZL6
JARDEN CORP SENIOR SECUREDTERM LOAN
 
 
 
 





1,701.73





MJSD

15,713.63

00/00/0000
00/00/0000
BRSE4J2V4
CATALENT PHARMA SOLUTIONS INC SENIOR
 
 
 
 
5,932,567.01

6,050,751.74

5,987,138.39

5,942,836.91

107,914.83

2,567.28




0.164

MJSD

71,483.87

4/24/2012
9/15/2017
BRSE58QX7
NORANDA ALUMINUM ACQUISITION TERM LOAN
 
 
 
 
1,965,150.00

2,015,481.60

1,980,000.00

1,967,392.82

48,088.78

557.68




0.107

MJSD

27,983.55

2/24/2012
2/24/2019
BRSE76GJ1
WEIGHT WATCHERS INTL INC SECURED TERM
 
 
 
 
2,528,818.87

2,570,161.23

2,554,362.50

2,531,946.17

38,215.06

1,171.81




0.146

MJSD


5/29/2012
3/15/2019
BRSE9A2P1
YANKEE CANDLE CO INC SECURED TERM LOAN
 
 
 
 
1,847,430.42

1,882,093.06

1,866,091.33

1,850,013.88

32,079.18

657.18




0.142

JAJO

23,689.18

3/14/2012
4/2/2019
BRSE9BMN2
FIFTH THIRD PROCESSING SOLUTIO SENIOR
 
 
 
 
805,630.17

814,488.07

809,678.58

806,204.10

8,283.97

151.86




0.071

MJSD

7,356.25

3/7/2012
3/27/2019
BRSE9BNJ0
PINNACLE ENTERTAINMENT INC. SENIOR SEC
 
 
 
 
490,050.00

499,021.88

495,000.00

490,754.10

8,267.78

183.52




0.142

MJSD

4,797.08

3/8/2012
3/19/2019
BRSE9BR07
DJO FINANCE LLC/DJO FINANCE CO SECURED
 
 
 
 
540,000.00

548,607.60

540,000.00

540,000.00

8,607.60






MJSD


3/19/2013
9/15/2017
BRSE9C0N4
PROTECTION ONE INC. SENIOR SECURED TERM
 
 
 
 
1,315,066.76

1,341,118.73

1,328,248.01

1,316,927.30

24,191.43

722.33




0.141

MJSD

23,363.50

3/15/2013
3/21/2019
BRSE9K3Z6
WCA WASTE SECURED TERM LOAN
 
 
 
 
308,731.50

314,578.69

311,850.00

309,254.53

5,324.16

134.88




0.166

MJSD

4,401.99

3/9/2012
3/23/2018
BRSEARBD9
AVIS BUDGET CAR RENTAL LLC TERM NOTES
 
 
 
 
2,382,752.98

2,438,663.43

2,406,821.19

2,386,190.01

52,473.42

850.28




0.143

MJSD

22,435.80

3/13/2012
00/00/0000
BRSEBGYC9
MONITRON INTL SENIOR SECURED TERM NOTES
 
 
 
 
3,293,352.22

3,373,798.29

3,319,850.72

3,297,760.30

76,037.99

1,166.83




0.133

MJSD

42,717.27

11/5/2012
3/16/2018
BRSEC7EU0
PINACLE FOOD FIN SENIOR SEC TERM NOTES
 
 
 
 
2,217,681.37

2,257,855.95

2,229,981.19

2,219,415.35

38,440.60

518.00




0.084

MJSD

26,860.70

8/15/2012
10/17/2018
BRSECN1K1
ENNIS-FLINT SENIOR SEC TERM NOTES
 
 
 
 
2,733,443.25

2,772,229.06

2,751,592.12

2,736,182.56

36,046.50

848.06




0.111

MJSD

41,665.45

8/6/2012
3/30/2018
BRSEDF0S1
LPL HOLDINGS INC TL SENIOR SECURED TERM
 
 
 
 
1,388,920.50

1,414,046.70

1,395,900.00

1,389,916.60

24,130.10

262.13




0.071

MJSD

13,527.78

3/23/2012
3/22/2019
BRSEDXCH3
PETROLOGISTICS LP SENIOR SEC TERM LOAN
 
 
 
 










MJSD

9,649.31

00/00/0000
00/00/0000
BRSEF3569
ALERE INC SENIOR SEC TERM NOTES
 
 
 
 
840,101.62

857,226.12

848,587.50

841,653.97

15,572.15

400.59




0.19

MJSD

13,150.06

3/27/2012
6/30/2017
BRSEFGMT1
CHARTER COM OPER SECURED TERM LOAN
 
 
 
 
2,570,980.50

2,612,051.59

2,583,900.00

2,572,725.97

39,325.62

478.31




0.07

MJSD

25,040.78

4/4/2012
5/15/2019
BRSEGDRJ4
AMN HEALTHCARE SENIOR SECURED TERM NOTE
 
 
 
 
2,180,728.44

2,219,276.67

2,202,756.00

2,184,165.16

35,111.51

910.25




0.167

MJSD

30,609.13

4/3/2012
4/5/2018
BRSEGRYL0
WENDYS INTERNATIONAL INC. SENIOR SEC
 
 
 
 
1,452,548.97

1,476,080.10

1,457,662.53

1,453,038.12

23,041.98

512.01




0.051

FMAN

30,983.68

7/16/2012
5/15/2019
BRSEHTXV4
FREEDOM GROUP INC SENIOR SEC TERM NOTES
 
 
 
 
3,862,660.34

3,906,750.72

3,882,485.19

3,865,237.01

41,513.71

788.01




0.072

MJSD

51,734.63

7/27/2012
4/19/2019
BRSEJG0V6
AXCAN INTER HLDG SENIOR SEC TERM LOAN
 
 
 
 
1,552,320.00

1,600,632.00

1,584,000.00

1,558,261.13

42,370.87

1,696.60




0.418

MJSD

21,107.17

4/11/2012
2/10/2017
BRSEKC100
PINACLE FOOD FIN SENIOR SECURED TERM
 
 
 
 
4,888,181.76

4,962,830.33

4,913,693.40

4,891,305.43

71,524.90

1,682.66





MJSD

46,201.44

10/4/2012
10/2/2016
BRSEL02X2
BAUSCH & LOMB INCORPORATED SENIOR
 
 
 
 
6,288,480.00

6,420,601.60

6,352,000.00

6,295,581.72

125,019.88

2,407.15




0.144

FMAN

80,794.00

5/10/2012
5/17/2019
BRSEM91J4
SYNIVERSE HLDGS SENIOR SEC TERM NOTES
 
 
 
 
2,908,422.00

2,963,505.75

2,937,800.00

2,912,277.40

51,228.35

1,120.73




0.143

JAJO

37,698.89

4/20/2012
4/10/2019
BRSEQ0HG8
ARCH COAL INC. SENIOR SECURED TERM NOTES
 
 
 
 
265,937.78

273,762.80

268,624.02

266,105.38

7,657.42

305.91




0.182

MJSD

9,465.84

11/16/2012
5/14/2018
BRSEQLBQ6
TRICORBRAUN INC SENIOR SECURED TERM LOAN
 
 
 
 
2,534,464.00

2,577,982.91

2,547,200.00

2,536,330.21

41,652.70

545.81




0.083

MJSD

35,413.16

4/30/2012
5/10/2018
BRSETKJX2
TAMINCO GLOBAL CHEMICAL CORPOR TERM
 
 
 
 
330,006.26

333,228.77

330,006.26

330,006.26

3,222.51






FMAN

3,609.30

5/11/2012
2/15/2019
BRSEVCW87
RPI FINANCE TRUST SENIOR SEC TERM NOTES
 
 
 
 
681,599.57

699,764.02

691,979.25

682,932.37

16,831.65

418.86




0.231

FMAN

6,706.13

5/24/2012
11/9/2018
BRSEW6RB8
GENERAC POWER SYSTEMS INC SENIOR SEC
 
 
 
 










MJSD

6,553.02

00/00/0000
00/00/0000
BRSEXWQA3
APPLIED SYSTEMS INC SENIOR SECURED TERM
 
 
 
 
490,050.00

496,237.50

495,000.00

490,908.74

5,328.76

280.91




0.221

MJSD

6,595.99

5/30/2012
12/10/2016



BRSEY9A02
RGIS SERVICES LLC SENIOR SECURED TERM
 
 
 
 
272,519.67

275,426.10

273,545.47

272,623.99

2,802.11

66.36




0.094

MJSD

3,022.75

9/18/2012
10/18/2016
BRSEYJRF9
RGIS SERVICES LLC TERM NOTES
 
 
 
 
2,492,725.09

2,552,525.34

2,517,904.15

2,496,267.81

56,257.53

1,223.89




0.187

MJSD

33,551.66

8/17/2012
10/18/2017
BRSEYKM87
VWR FUNDING INC TERM NOTES
 
 
 
 
2,939,460.16

3,006,266.08

2,969,151.68

2,943,950.72

62,315.36

1,659.99




0.21

MJSD

33,484.77

5/18/2012
4/3/2017
BRSF33TK2
US RENAL CARE INC SENIOR SECURED TERM
 
 
 
 
977,612.50

1,009,868.75

992,500.00

979,134.19

30,734.56

557.99




0.214

FMAN

15,028.64

7/2/2012
7/3/2019
BRSF5Z2P7
WIRECO WORLDGROUP INC TERM NOTES
 
 
 
 
3,078,281.25

3,152,128.91

3,109,375.00

3,082,927.29

69,201.62

1,743.99




0.217

MJSD

45,199.22

6/28/2012
2/15/2017
BRSF6FJZ0
CERIDIAN CORP SENIOR SECURED TERM NOTES
 
 
 
 





(178.05
)




MJSD

14,304.11

00/00/0000
00/00/0000
BRSF89UY2
HOLOGIC INC. SENIOR SECURED TERM NOTES
 
 
 
 
1,398,721.50

1,434,240.55

1,412,850.00

1,400,018.63

34,221.92

1,515.79




0.142

MJSD

38,854.38

7/19/2012
8/1/2019
BRSF9BJL7
KLOECKNER HOLDINGS GP S.A. TERM LOAN
 
 
E
 
404,568.50

420,394.15

412,825.00

405,843.95

14,550.20

457.74




0.452

MJSD


7/16/2012
12/21/2016
BRSFBH0G2
BIOMET INC SENIOR SECURED TERM LOAN
 
 
 
 
9,107,410.49

9,251,941.97

9,132,714.38

9,106,686.62

145,255.35

(21.23
)



(0.001
)
MJSD

85,996.45

12/14/2012
7/25/2017
BRSFC7S57
PANTRY INC TERM LOAN
 
 
 
 





150.07





JAJO

6,013.93

00/00/0000
00/00/0000
BRSFD0DY4
WINDSTREAM CORP SENIOR SEC TERM NOTES
 
 
 
 
3,832,042.50

3,931,249.82

3,870,750.00

3,835,206.20

96,043.62

1,468.86




0.144

FMAN

39,247.00

8/3/2012
8/2/2019
BRSFD9W24
LEVEL 3 COMMUNICATIONS INC SENIOR SEC
 
 
 
 
960,300.00

984,913.75

970,000.00

961,187.11

23,726.64

341.30




0.142

MJSD

12,662.83

8/2/2012
8/1/2019
BRSFDBBL0
PILOT TRAVEL CENTERS LLC SENIOR SEC TERM
 
 
 
 
602,397.88

615,201.49

606,950.00

602,816.92

12,384.57

170.63




0.106

MJSD

6,249.55

8/2/2012
8/7/2019
BRSFGBWM2
SABRE INC SENIOR SECURED TERM LOAN
 
 
 
 





18,609.25





MJSD

40,038.55

00/00/0000
00/00/0000
BRSFH6DM3
ALLISON TRANSMISSION INC TERM LOAN
 
 
 
 
5,781,431.84

5,918,638.87

5,825,202.62

5,784,929.64

133,709.23

1,678.60




0.107

MJSD

63,463.44

9/25/2012
8/23/2019
BRSFHNFP7
CPM HOLDINGS INC TERM LOAN
 
 
 
 
1,393,845.75

1,426,411.06

1,407,925.00

1,395,386.82

31,024.24

724.30




0.2

FMAN

22,317.58

8/16/2012
8/29/2017
BRSFHP193
MCC IOWA LLC TERM LOAN
 
 
 
 
2,910,375.00

3,016,088.78

2,985,000.00

2,915,945.27

100,143.51

2,650.50




0.339

FMAN

28,927.50

8/15/2012
1/20/2020
BRSFJDVK0
PINACLE FOOD FIN TERM LOAN
 
 
 
 
3,033,899.01

3,096,563.92

3,056,825.19

3,035,896.53

60,667.39

1,413.64




0.122

FMAN

55,255.94

8/17/2012
10/17/2018
BRSFKYGX1
WARNER CHILCOTT CO LLC SENIOR SECURED
 
 
 
 
1,082,703.40

1,122,352.77

1,102,708.03

1,084,879.20

37,473.57

898.76




0.325

FMAN

11,354.26

8/20/2012
3/15/2018
BRSFMJM98
SERVICEMASTER CO SENIOR SECURED TERM
 
 
 
 
745,307.80

754,684.31

746,240.60

745,307.80

9,376.51





0.033

FMAN


11/20/2012
1/31/2017
BRSFMRGY2
PHARMACEUTICAL RSRCE INC SENIOR SECURED
 
 
 
 
3,171,836.11

3,224,672.25

3,186,513.75

3,172,861.80

51,810.45

592.22




0.065

MJSD

50,189.82

2/22/2013
9/30/2019
BRSFNCAU8
IMMUCOR INC. SENIOR SECURED TERM NOTES
 
 
 
 
2,859,272.80

2,999,548.84

2,955,205.97

2,863,448.27

136,100.57

4,415.90




0.578

MJSD

68,510.41

12/31/2012
8/19/2018
BRSFPRNH8
GETTY IMAGES INC. SENIOR SECURED TERM
 
 
 
 
4,340,421.87

4,430,068.95

4,364,062.50

4,339,785.93

90,283.02

(941.87
)



(0.107
)
JAJO

49,561.63

1/3/2013
10/18/2019
BRSFQ43Z0
FIRST DATA CORP SENIOR SEC TERM NOTES
 
 
 
 
3,490,000.00

3,532,095.00

3,500,000.00

3,490,511.42

41,583.58

422.31




0.048

MJSD

20,334.78

1/30/2013
9/24/2018
BRSFQ6PR9
FOXCO ACQSTN SUB SENIOR SECURED TERM
 
 
 
 





148.74





MJSD

7,384.71

00/00/0000
00/00/0000
BRSFRQMG1
REYNOLDS GROUP HOLDINGS INC SENIOR
 
 
 
 
1,969,835.57

2,001,283.99

1,969,835.57

1,969,835.57

31,448.42






MJSD

40,694.57

9/21/2012
9/28/2018
BRSFSRG42
AOT BEDDING SUPER HOLDINGS LLC SENIOR
 
 
 
 
3,495,625.00

3,553,812.50

3,500,000.00

3,495,871.75

57,940.75

170.77




0.018

MJSD

36,369.11

10/4/2012
10/1/2019
BRSFTQM53
ADS WASTE ESCROW SENIOR SECURED TERM
 
 
 
 





97,031.78





JAJO

174,583.33

00/00/0000
00/00/0000
BRSFTR0V8
INFOR US INC SENIOR SECURED TERM NOTES
 
 
 
 
797,248.49

818,750.65

804,668.94

797,930.26

20,820.39

347.72




0.166

JAJO

10,234.89

9/27/2012
4/5/2018
BRSFUKYH5
ACOSTA INC SENIOR SECURED TERM LOAN
 
 
 
 
5,816,697.03

5,933,941.41

5,840,838.45

5,818,971.26

114,970.15

1,089.07




0.075

MJSD

73,821.73

9/25/2012
3/2/2018
BRSFUUMM5
SBA SENIOR FINANCE II LLC SENIOR SECURED
 
 
 
 
965,156.06

981,285.54

967,575.00

965,319.99

15,965.55

91.64




0.036

MJSD

8,790.63

9/21/2012
9/20/2019
BRSFV16D6
ADVANCE PIERRE FOODS SENIOR SECURED TERM
 
 
 
 
990,018.75

1,013,460.00

997,500.00

990,715.85

22,744.15

407.73




0.157

JAJO

12,808.53

10/2/2012
7/10/2017
BRSFW2S64
CALPINE CORP SENIOR SECURED TERM LOAN
 
 
 
 
1,485,037.50

1,515,044.21

1,492,500.00

1,485,522.54

29,521.67

281.19




0.071

MJSD

30,382.19

9/28/2012
10/9/2019
BRSFW2WH5
BURGER KING CORP SENIOR SECURED TERM
 
 
 
 
2,173,602.38

2,209,785.50

2,179,050.00

2,173,972.55

35,812.95

205.75




0.035

MJSD

19,797.26

9/26/2012
9/27/2019



BRSFWACE6
LEAP WIRELESS INTL INC SENIOR SECURED
 
 
 
 
2,354,809.25

2,379,228.72

2,364,075.00

2,354,752.38

24,476.34

(71.15
)



(0.022
)
JAJO

26,955.56

11/15/2012
10/10/2019
BRSFWC4C5
PEP BOYS - MANNY MOE & JACK TH SENIOR
 
 
 
 
1,801,834.12

1,847,220.38

1,815,450.00

1,802,778.14

44,442.24

599.64




0.126

MJSD

21,991.67

9/27/2012
9/28/2018
BRSFWQSC8
TRANSTAR HOLDING COMPANY SENIOR SECURED
 
 
 
 
1,093,405.50

1,118,255.63

1,104,450.00

1,094,213.45

24,042.18

481.41




0.166

MJSD

14,716.86

10/2/2012
10/9/2018
BRSFX7D35
CDR DB SUB INC SENIOR SECURED TERM LOAN
 
 
 
 





307.61





JAJO
4,787.27

24,400.23

11/13/2012
10/11/2019
BRSFXMS69
LESLIES POOLMART INC. SENIOR SECURED
 
 
 
 
4,952,919.00

5,055,520.63

4,976,200.00

4,954,360.27

101,160.36

865.53




0.066

JAJO

62,416.60

10/10/2012
10/16/2019
BRSFZ6AM6
GENERAL NUTRITION CENTERS INC SENIOR
 
 
 
 
4,565,555.52

4,642,122.19

4,593,727.27

4,568,126.86

73,995.33

1,287.43




0.112

JAJO

44,287.74

10/2/2012
3/2/2018
BRSFZ6L02
REXNORD CORP SENIOR SECURED TERM NOTES
 
 
 
 
1,328,237.94

1,345,996.48

1,328,237.94

1,328,237.94

17,758.54






MJSD

5,183.21

10/17/2012
3/30/2018
BRSFZCHP9
GRAY TELEVISION INC. SENIOR SEC TERM
 
 
 
 
1,534,630.63

1,563,225.66

1,542,342.34

1,535,031.37

28,194.29

275.48




0.072

JAJO

10,515.62

10/11/2012
10/11/2019
BRSG092B9
ROYALTY PHARMA FINANCE TRUST SENIOR
 
 
 
 
4,965,517.03

5,047,770.82

4,965,517.03

4,965,517.03

82,253.79






JAJO

42,106.87

10/11/2012
5/9/2018
BRSG12397
OSI RESTAURANT PARTNERS INC SENIOR
 
 
 
 
1,486,485.00

1,524,608.09

1,501,500.00

1,487,269.36

37,338.73

909.63




0.143

JAJO

18,047.75

10/23/2012
10/28/2019
BRSG12QG6
WARNER MUSIC GROUP CORP SECURED TERM
 
 
 
 
1,119,380.62

1,150,299.27

1,130,687.50

1,120,127.47

30,171.80

603.16




0.166

FMAN

17,115.37

10/25/2012
11/1/2018
BRSG13DW3
TRIMAS CO LLC SENIOR SECURED TERM LOAN
 
 
 
 
803,935.12

807,964.88

805,950.00

804,062.23

3,902.65

75.87




0.035

JAJO

5,233.58

10/10/2012
10/15/2019
BRSG13FM3
FIRST AMERICAN PAYMENT SYSTEMS SENIOR
 
 
 
 
1,876,297.50

1,914,211.98

1,895,250.00

1,877,690.09

36,521.89

824.28




0.166

JAJO

35,809.72

10/11/2012
10/12/2018
BRSG1PVM6
DELTA AIR LINES INC SENIOR SECURED TERM
 
 
 
 
2,727,450.00

2,804,934.38

2,755,000.00

2,728,947.04

75,987.34

1,151.32




0.169

JAJO

19,686.77

10/16/2012
10/18/2018
BRSG20AV3
PILOT TRAVEL CENTERS LLC SENIOR SECURED
 
 
 
 
1,569,718.73

1,660,695.57

1,639,383.58

1,575,813.20

84,882.37

3,083.13




(0.056
)
JAJO

14,894.24

10/4/2012
3/30/2018
BRSG3S869
SNL FINANCIAL LC SENIOR SECURED TERM
 
 
 
 
4,011,476.25

4,061,750.92

4,039,875.00

4,013,015.82

48,735.10

1,284.19




0.118

JAJO

68,818.75

10/31/2012
10/23/2018
BRSG45CM8
CONSOLIDATED CONTAINER CO LP TERM NOTE
 
 
 
 
2,276,391.26

2,331,697.08

2,298,450.00

2,277,828.88

53,868.20

862.61




(0.132
)
MJSD

21,393.51

10/17/2012
7/3/2019
BRSG4MWC1
TALLGRASS ENERGY PARTNERS LP SENIOR
 
 
 
 
3,446,462.25

3,555,269.50

3,481,275.00

3,448,559.80

106,709.70

1,526.83




0.167

JAJO

52,931.67

10/25/2012
10/25/2018
BRSG4MWN7
BWAY HOLDING SENIOR SECURED TERM LOAN
 
 
 
 
3,620,426.22

3,683,827.57

3,632,966.05

3,621,432.61

62,394.96

695.91




0.072

JAJO

22,955.69

1/15/2013
8/6/2017
BRSG4MWQ0
BSN MEDICAL SENIOR SECURED TERM NOTE
 
 
 
 
2,089,753.83

2,122,050.00

2,100,000.00

2,090,385.07

31,664.93

368.93




(0.059
)
JAJO

26,833.33

10/29/2012
8/28/2019
BRSG7ST70
CHG HEALTHCARE SERVICES INC SENIOR SEC
 
 
 
 
4,318,799.44

4,427,183.86

4,362,423.68

4,320,913.20

106,270.66

1,993.38




0.142

FMAN

55,034.66

11/13/2012
11/19/2019
BRSG7WBK1
SMART & FINAL STORES LLC TERM LOAN
 
 
 
 
886,665.28

901,926.13

887,775.00

886,712.87

15,213.26

260.89




0.018

FMAN

24,974.43

11/29/2012
11/5/2019
BRSG82NP2
CONSOLIDATED COMMUNICATIONS IN SENIOR
 
 
 
 
2,962,575.00

3,035,891.25

2,992,500.00

2,963,759.75

72,131.50

1,259.75




0.166

FMAN

37,953.61

11/29/2012
12/31/2018
BRSG8SYA6
BASS PRO GROUP LLC SENIOR SECURED TERM
 
 
 
 
4,188,976.31

4,250,792.58

4,199,475.00

4,189,427.55

61,365.03

398.64




0.036

FMAN

49,116.67

11/16/2012
11/20/2019
BRSG8U0V2
WESCO DISTRIBUTION INC SENIOR SECURED
 
 
 
 
1,234,406.25

1,263,757.69

1,246,875.00

1,234,837.17

28,920.52

462.17




0.143

MJSD

11,723.18

12/4/2012
12/12/2019
BRSG8UAX7
FLEETPRIDE INC SENIOR SECURED TERM LOAN
 
 
 
 
3,499,713.25

3,571,351.74

3,521,175.00

3,500,675.01

70,676.73

845.08




0.087

FMAN

44,786.88

12/5/2012
11/19/2019
BRSG9SY49
ARDENT MEDICAL SENIOR SECURED TERM LOAN
 
 
 
 
1,787,420.25

1,841,584.50

1,805,475.00

1,788,199.95

53,384.55

824.95




0.181

FMAN

28,168.12

11/19/2012
7/2/2018
BRSGBCQJ7
NEXSTAR BROADCASTING INC SENIOR SECURED
 
 
 
 
1,363,718.57

1,397,133.10

1,370,571.43

1,363,937.07

33,196.03

218.50




0.072

FMAN

8,908.71

11/19/2012
11/19/2019
BRSGC58P7
UPC FINANCING PARTNERSHIP SENIOR SECURED
 
 
 
 
1,496,250.00

1,525,312.50

1,500,000.00

1,496,387.50

28,925.00

113.53




0.03

MJSD

5,500.00

11/20/2012
1/29/2021
BRSGC5B08
NATIONAL CNEMDIA SENIOR SECURED TERM
 
 
 
 
1,488,750.00

1,514,062.50

1,500,000.00

1,489,273.34

24,789.16

395.52




0.106

FMAN

12,555.41

11/20/2012
11/26/2019
BRSGCCH31
NSG HOLDINGS SENIOR SECURED TERM LOAN
 
 
 
 
1,175,154.75

1,207,797.94

1,187,025.00

1,175,556.99

32,240.95

413.23




0.143

MJSD
469.86

12,940.67

12/7/2012
12/11/2019
BRSGCQN17
SEQUA CORP SENIOR SECURED TERM LOAN
 
 
 
 
2,858,436.00

2,925,113.69

2,872,800.00

2,859,202.26

65,911.43

802.26




0.111

MJSD

68.25

12/18/2012
6/19/2017
BRSGD3QG1
GWF ENERGY HOLDINGS LLC SENIOR SECURED
 
 
 
 





74,522.17





FMAN

42,289.53

00/00/0000
00/00/0000
BRSGECMG4
NPC INTL INC. SENIOR SECURED TERM LOAN
 
 
 
 
500,000.00

505,832.50

500,000.00

500,000.00

5,832.50






FMAN

4,724.44

11/21/2012
12/28/2018



BRSGF63V4
CINEMARK USA INC SENIOR SECURED TERM
 
 
 
 
2,669,858.62

2,714,025.33

2,683,275.00

2,670,357.83

43,667.50

506.44




0.071

MJSD

14,038.50

12/13/2012
12/18/2019
BRSGF9UP1
SUNGARD DATA SYST INC. SENIOR SECURED
 
 
 
 
917,700.00

931,268.19

917,700.00

917,700.00

13,568.19






MJSD

6,080.89

12/14/2012
1/31/2020
BRSGFBZT3
ALLIANCE LAUNDRY SYST LLC SENIOR SECURED
 
 
 
 
791,969.62

803,510.89

795,949.37

792,167.41

11,343.48

183.39




0.082

MJSD

18,222.22

12/7/2012
12/10/2018
BRSGGZLV9
MGM RESORTS INTERNATIONAL SENIOR SECURED
 
 
 
 
1,057,025.81

1,081,326.78

1,062,337.50

1,057,201.18

24,125.60

188.68




0.071

MJSD

10,058.33

12/13/2012
12/20/2019
BRSGV1XL6
MISSION BROADCASTING INC. SENIOR SEC
 
 
 
 
576,531.43

590,657.90

579,428.57

576,623.29

14,034.61

91.86




0.072

MJSD

5,504.57

11/19/2012
12/3/2019
BRSGV88K1
MEDASSETS INC SENIOR SECURED TERM LOAN
 
 
 
 
344,108.31

350,592.77

345,837.50

344,177.99

6,414.78

156.19




0.071

MJSD

4,015.00

12/11/2012
12/13/2019
BRSGVDRB9
METALDYNE LLC SENIOR SECURED TERM LOAN
 
 
 
 
1,736,896.87

1,763,081.25

1,745,625.00

1,737,229.91

25,851.34

354.91




0.083

MJSD

39,083.34

12/4/2012
12/18/2018
BRSGVPQQ0
REDPRAIRIE CORP SENIOR SECURED TERM LOAN
 
 
 
 
2,321,681.25

2,420,151.33

2,369,062.50

2,323,473.52

96,677.81

4,612.19




0.335

MJSD

64,804.69

12/14/2012
12/21/2018
BRSGW0678
B&G FOODS INC SENIOR SECURED TERM LOAN
 
 
 
 
660,912.00

676,977.54

666,562.50

661,149.09

15,828.45

251.40




0.142

MJSD

2,464.71

12/31/2012
11/30/2018
BRSGWZFG1
SAGE PRODUCTS INC SENIOR SECURED TERM
 
 
 
 
1,173,150.00

1,194,628.13

1,185,000.00

1,173,559.37

21,068.76

409.37




0.143

MJSD

22,786.56

12/13/2012
12/13/2019
BRSGXX576
TRIBUNE COMPANY SENIOR SECURED TERM LOAN
 
 
 
 
1,283,782.50

1,311,494.05

1,296,750.00

1,284,153.68

27,340.37

403.68




0.143

MJSD

9,966.66

12/17/2012
12/31/2019
BRSGZA7E7
TRANSFIRST HOLDINGS INC SENIOR SECURED
 
 
 
 
1,886,172.75

1,939,166.58

1,905,225.00

1,887,050.30

52,116.28

1,941.27




0.199

MJSD

43,340.28

12/20/2012
12/27/2017
BRSGZV4B0
CUMULUS MED INC. SENIOR SECURED TERM
 
 
 
 
6,115,638.55

6,209,911.12

6,115,638.55

6,115,638.55

94,272.57






MJSD

42,917.04

12/18/2012
9/17/2018
BRSH02032
CONSOLIDATED PRECISION PRODUCT SENIOR
 
 
 
 





14,750.00





MJSD

18,990.62

00/00/0000
00/00/0000
BRSH04L43
MGM RESORTS INTERNATIONAL SENIOR SECURED
 
 
 
 
1,485,028.12

1,501,486.88

1,496,250.00

1,485,404.44

16,082.44

404.44




0.152

MJSD
412.59

9,762.89

1/4/2013
12/20/2017
BRSH2DJN2
WINDSTREAM CORP SENIOR SECURED TERM LOAN
 
 
 
 
2,723,175.00

2,755,948.41

2,723,175.00

2,723,175.00

32,773.41






JAJO

10,888.72

1/10/2013
1/23/2020
BRSH4GA51
AMERIFORGE GROUP INC SENIOR SECURED TERM
 
 
 
 
764,234.62

779,918.72

768,075.00

764,324.60

15,594.12

99.60




0.072

JAJO

6,058.62

1/22/2013
12/19/2019
BRSH4X0F3
DIGITALGLOBE INC SENIOR SECURED TERM
 
 
 
 
510,000.00

517,729.05

510,000.00

510,000.00

7,729.05






JAJO


1/25/2013
1/31/2020
BRSH4XBW4
ALCATEL-LUCENT USA INC SENIOR SECURED
 
 
 
 





32.12





MJSD

1,639.31

00/00/0000
00/00/0000
BRSH5BNL2
MICHAELS STORES INC SENIOR SECURED TERM
 
 
 
 
6,565,000.00

6,642,499.83

6,565,000.00

6,565,000.00

77,499.83






JAJO


1/24/2013
1/28/2020
BRSH62EH0
BRIGHT HORIZONS FAMILY SOLUTIO SENIOR
 
 
 
 
2,547,814.50

2,600,250.58

2,573,550.00

2,548,288.02

51,962.56

538.02




0.142

JAJO

6,327.34

1/24/2013
1/30/2020
BRSH62SH5
APEX TOOL GROUP LLC SENIOR SECURED TERM
 
 
 
 
1,741,250.00

1,776,250.00

1,750,000.00

1,741,336.55

34,913.45

86.55




0.072

JAJO


1/25/2013
1/31/2020
BRSH8YLF4
SESAC HOLDCO II LLC SENIOR SECURED TERM
 
 
 
 
444,386.25

453,644.30

448,875.00

444,452.12

9,192.18

77.12




0.167

FMAN

2,100.00

2/7/2013
2/7/2019
BRSH9LJ56
CROSSMARK HOLDINGS INC SENIOR SECURED
 
 
 
 
1,029,825.00

1,037,913.53

1,035,000.00

1,029,922.01

7,991.52

97.01




0.072

MJSD


1/31/2013
12/20/2019
BRSHA8HD8
VWR FUNDING INC SENIOR SECURED TERM
 
 
 
 
763,087.50

772,149.16

763,087.50

763,087.50

9,061.66






MJSD

2,501.20

1/29/2013
4/3/2017
BRSHB1YS0
RITE AID CORP SENIOR SECURED TERM LOAN
 
 
 
 
2,500,000.00

2,533,150.00

2,500,000.00

2,500,000.00

33,150.00






MJSD

555.56

2/7/2013
2/21/2020
BRSHB29T4
ADS WASTE HOLDINGS INC SENIOR SECURED
 
 
 
 
9,975,000.00

10,100,734.87

9,975,000.00

9,975,000.00

125,734.87






MJSD

33,055.56

2/5/2013
10/9/2019
BRSHB4QM6
GENESYS TELECOM HOLDINGS US IN SENIOR
 
 
 
 
2,325,559.82

2,377,146.15

2,357,987.50

2,325,696.31

51,449.84

136.49




0.199

MJSD


3/28/2013
1/31/2020
BRSHBDMR9
FREESCALE SEMICONDUCTOR INC SENIOR
 
 
 
 
8,553,600.00

8,685,921.60

8,640,000.00

8,553,973.10

131,948.50

373.10




0.143

FMAN


2/13/2013
2/28/2020
BRSHBGWY6
LMI AEROSPACE SENIOR SECURED TERM LOAN
 
 
 
 





148.53





MJSD

2,889.04

00/00/0000
00/00/0000
BRSHBHRL8
LIFEPOINT HOSPITALS INC. SECURED TERM
 
 
 
 
626,853.94

634,709.25

628,425.00

626,884.10

7,825.15

34.10




0.056

MJSD

618.19

2/4/2013
7/31/2017
BRSHBHS86
BERRY PLASTICS CORP SENIOR SECURED TERM
 
 
 
 
13,000,000.00

12,994,085.00

13,000,000.00

13,000,000.00

(5,915.00
)





JAJO


2/4/2013
2/10/2020
BRSHC6N35
BAKERCORP INTERNATIONAL INC SENIOR
 
 
 
 
1,180,000.00

1,190,637.70

1,180,000.00

1,180,000.00

10,637.70






MJSD


2/6/2013
2/7/2020
BRSHCGRY1
SABRE INC SENIOR SECURED TERM NOTES
 
 
 
 
5,771,000.00

5,886,449.00

5,800,000.00

5,771,437.33

115,011.67

437.33




0.083

FMAN

24,529.17

2/15/2013
2/19/2019



BRSHD81B6
DUNKIN BRANDS INC SENIOR SECURED TERM
 
 
 
 
4,975,052.77

5,033,900.98

4,969,815.21

4,974,956.86

58,944.12

(95.91
)



(0.015
)
MJSD


2/14/2013
2/14/2020
BRSHDAGH2
SERVICEMASTER CO SENIOR SEC TERM NOTES
 
 
 
 
11,855,237.63

12,122,160.10

11,974,987.50

11,855,237.63

266,922.47

531.48




0.258

MJSD
(362.63
)
362.63

2/15/2013
1/31/2017
BRSHE90B4
ARAMARK CORPORATION SENIOR SECURED TERM
 
 
 
 
6,089,400.00

6,187,870.80

6,120,000.00

6,089,582.01

98,288.79

182.01




0.077

FMAN

6,800.00

2/22/2013
8/22/2019
BRSHE9NJ2
CENTAUR ACQUISITION LLC SENIOR SECURED
 
 
 
 
2,544,554.46

2,611,762.50

2,570,000.00

2,544,554.46

67,208.04





0.168

MJSD


2/15/2013
2/20/2019
BRSHGCFR4
REALOGY GROUP LLC SENIOR SECURED TERM
 
 
 
 
1,301,850.00

1,335,277.30

1,315,000.00

1,301,947.78

33,329.52

97.78




0.142

FMAN


3/1/2013
2/28/2020
BRSHH3U39
IASIS HELTHCARE CORP SENIOR SECURED TERM
 
 
 
 
7,203,425.81

7,423,209.59

7,312,750.50

7,205,255.08

217,954.51

1,897.13




0.286

FMAN

32,989.85

2/28/2013
5/3/2018
BRSHHLHN0
CRICKET COMMUNICATIONS INC. SENIOR
 
 
 
 
6,004,625.00

6,094,618.75

6,050,000.00

6,004,625.00

89,993.75





0.109

MJSD


3/1/2013
3/1/2020
BRSHHYQ77
UNIVISION COMMUN INC. SENIOR SECURED
 
 
 
 
1,990,000.00

2,013,250.00

2,000,000.00

1,990,093.96

23,156.04

93.96




0.071

FMAN

5,277.78

2/22/2013
2/28/2020
BRSHJ8GU2
SUNGARD DATA SYST INC. SENIOR SECURED
 
 
 
 
6,937,612.50

7,037,590.63

6,955,000.00

6,937,646.74

99,943.89

34.24




0.035

JAJO


3/7/2013
3/8/2020
BRSHJV7B3
CEDAR FAIR L.P. SENIOR SECURED TERM
 
 
 
 
1,446,375.00

1,470,851.00

1,450,000.00

1,446,404.80

24,446.20

82.91




0.035

MJSD

3,506.84

3/1/2013
3/6/2020
BRSHKFUT1
TOTAL SAFETY US INC SENIOR SECURED TERM
 
 
 
 
756,200.00

767,919.20

760,000.00

756,200.00

11,719.20





0.072

MJSD


3/13/2013
3/13/2020
BRSHKR2U3
NIELSEN FINANCE LLC/NIELSON FI SENIOR
 
 
 
 
1,959,823.68

1,983,253.37

1,959,823.68

1,959,823.68

23,429.69






FMAN


2/25/2013
5/1/2016
BRSHKZ9A2
VEYANCE TECHNOLOGIES INC SENIOR SECURED
 
 
 
 
4,925,000.00

5,018,300.00

5,000,000.00

4,925,769.35

92,530.65

769.35




0.331

MJSD


3/6/2013
9/15/2017
BRSHLHVQ1
STAR WEST GENERATION LLC SENIOR SECURED
 
 
 
 
4,865,550.00

4,958,264.40

4,890,000.00

4,865,617.08

92,647.32

67.08




0.071

MJSD


3/8/2013
3/13/2020
BRSHMA6X8
SALEM COMMUNS CORP SENIOR SECURED TERM
 
 
 
 
850,725.00

868,179.83

855,000.00

850,725.00

17,454.83





0.072

JAJO


3/13/2013
3/15/2020
BRSHN4W46
RUBY WESTERN PIPELINE HOLDINGS SENIOR
 
 
 
 
696,500.00

709,625.00

700,000.00

696,500.00

13,125.00





0.072

MJSD


3/22/2013
3/27/2020
BRSHNYK01
EAGLE SPINCO INC SENIOR SECURED TERM
 
 
 
 
300,000.00

303,000.00

300,000.00

300,000.00

3,000.00






MJSD


3/13/2013
1/28/2017
BRSHQ3628
DUFF & PHELPS LLC SENIOR SECURED TERM
 
 
 
 
299,250.00

303,939.00

300,000.00

299,250.00

4,689.00





0.036

MJSD


3/14/2013
3/14/2020
BRSHQJZB1
TWIN RIVER MANAGEMENT GROUP IN SENIOR
 
 
 
 
732,600.00

748,787.50

740,000.00

732,600.00

16,187.50





0.206

MJSD


3/22/2013
3/22/2018
BRSHRW9X2
MEDTRONIC INC CORP BND
 
 
 
 
4,992,500.00

5,005,122.00

5,000,000.00

4,992,524.24

12,597.76

24.24



0.029

0.059

MS
20.47


3/19/2013
4/1/2018
BRSHTM755
MONEYGRAM INTL INC SENIOR SEC TERM NOTES
 
 
 
 
890,000.00

890,000.00

890,000.00

890,000.00







MJSD


3/27/2013
3/27/2020
BRSHTPNN1
HEINZ H. J. COMPANY SENIOR SEC TERM
 
 
 
 
2,159,587.50

2,159,587.50

2,165,000.00

2,159,587.50






0.036

MJSD


3/27/2013
3/27/2020
BRSHUA3L8
UAL_12-2A SENIOR SECURED TERM LOAN
 
 
 
 
4,720,000.00

4,777,041.20

4,720,000.00

4,720,000.00

57,041.20






MJSD


3/22/2013
4/1/2019
C9413PAJ2
VALEANT PHARMACEUTICALS INTERN SENIOR
 
 
 
 
1,942,054.54

2,016,310.52

1,990,012.50

1,945,746.37

70,564.15

1,952.22




(0.164
)
JAJO

33,211.56

10/2/2012
2/13/2019
P8588FAD4
SEVEN SEAS CRUISES S DE RL SENIOR
 
 
 
 
2,656,375.00

2,696,220.63

2,656,375.00

2,656,375.00

39,845.63






JAJO


1/25/2013
12/21/2018
U75000AU0
ROCHE HOLDINGS INC SENIOR CORP BND
 
 
O
 
742,348.77

868,375.30

525,000.00

745,643.71

122,731.59

212.68


49,651.96

5.5

5.634

MAR
3,388.61

45,784.20

2/25/2009
3/4/2015
U89233TU1
TOYOTA MOTOR CREDIT CORP CORP BOND
 
 
O
 
890,072.82

936,440.95

550,000.00

890,355.74

46,085.21

53.71


(56,249.76
)
4

3.99

DEC
9,945.67


12/4/2011
12/7/2017
06366QGN1
BANK OF MONTREAL CORP BND
 
 
A
 
2,500,000.00

2,511,249.73

2,500,000.00

2,500,000.00

11,249.73




0.771

0.743

JAJO
3,317.43

21,061.07

4/26/2011
4/29/2014
06366QW86
BANK OF MONTREAL CORP BND MTN
 
 
A
 
2,993,850.00

3,131,845.32

3,000,000.00

2,995,281.81

136,563.51

295.16



2.5

2.544

JJ
16,666.67

37,500.00

1/6/2012
1/11/2017
06366RHA6
BANK OF MONTREAL SENIOR CORP BND MTN
 
 
A
 
2,995,380.00

2,999,513.85

3,000,000.00

2,995,878.73

3,635.12

221.94



1.4

1.432

MS
2,333.33

21,000.00

9/4/2012
9/11/2017
063679ZT4
BANK OF MONTREAL CORP BND 144A
 
 
A
 
2,196,150.00

2,291,410.13

2,200,000.00

2,197,016.39

94,393.74

185.12



1.95

1.987

JJ
7,269.17

21,450.00

1/23/2012
1/30/2017
064159AL0
BANK OF NOVA SCOTIA CORP BND
 
 
A
 
1,696,035.00

1,685,097.88

1,650,000.00

1,684,927.30

170.58

(4,838.86
)


1.85

0.653

JJ
6,698.54

15,262.50

8/30/2012
1/12/2015
064159AM8
BANK OF NOVA SCOTIA CORP BND
 
 
A
 
1,497,000.00

1,571,561.73

1,500,000.00

1,497,696.19

73,865.54

142.48



2.55

2.593

JJ
8,393.75

19,125.00

1/5/2012
1/12/2017
064159BW5
BANK OF NOVA SCOTIA SENIOR CORP BND
 
 
A
 
6,000,000.00

5,996,460.12

6,000,000.00

6,000,000.00

(3,539.88
)



0.687

0.687

MJSD
1,946.78


3/8/2013
3/15/2016



06415CAA7
BANK OF NOVA SCOTIA CORP BND 144A
 
 
A
 
1,140,524.00

1,151,205.07

1,100,000.00

1,132,613.65

18,591.42

(2,359.42
)


2.15

1.242

FA
3,810.28

11,825.00

5/24/2012
8/3/2016
06415CAD1
BANK OF NOVA SCOTIA SECURED CORP BND
 
 
A
 
4,200,824.80

4,249,392.14

4,200,000.00

4,200,584.36

48,807.78

(72.91
)


1.05

1.043

MS
1,347.51

22,050.00

4/12/2012
3/20/2015
06415CAE9
BANK OF NOVA SCOTIA SECURED LOCAL BND
 
 
A
 
2,197,580.00

2,273,303.85

2,200,000.00

2,198,059.92

75,243.93

116.53



1.75

1.773

MS
962.50

19,250.00

3/15/2012
3/22/2017
067901AF5
BARRICK GOLD CORP CORP BND
 
 
A
 
2,747,701.82

2,894,137.92

2,750,000.00

2,748,476.28

145,661.64

114.11



2.9

2.137

MN
26,804.86


9/8/2011
5/30/2016
12800UAK6
LA CAISSE CENTRALE DESJARDINS CORP BND
 
 
A
 
397,592.00

422,312.01

400,000.00

398,509.01

23,803.00

118.70



2.55

2.681

MS
198.33

5,100.00

4/18/2011
3/24/2016
12800UAL4
LA CAISSE CENTRALE DESJARDINS SECURED
 
 
A
 
2,699,352.00

2,771,658.19

2,700,000.00

2,699,486.46

72,171.73

31.24



1.6

1.605

MS
3,000.00

21,600.00

2/28/2012
3/6/2017
136069EH0
CANADIAN IMPERIAL BANK OF COMM CORP BND
 
 
A
 
2,234,372.73

2,241,580.16

2,200,000.00

2,222,140.52

19,439.64

(3,198.79
)


1.5

0.901

JD
9,991.67

8,500.00

4/16/2012
12/12/2014
136069ET4
CANADIAN IMPERIAL BANK OF COMM SENIOR
 
 
A
 
3,024,092.50

3,025,274.88

3,025,000.00

3,024,242.04

1,032.84

109.80



0.9

0.91

AO
13,612.50

7,850.00

9/24/2012
10/1/2015
136069FA4
CANADIAN IMPERIAL BANK OF COMM SENIOR
 
 
A
 
3,996,760.00

4,008,533.92

4,000,000.00

3,996,877.49

11,656.43

117.49



1.55

1.567

JJ
11,711.11


1/17/2013
1/23/2018
136375BU5
CANADIAN NTL RAIL CO CORP BND
 
 
A
 
8,414,868.00

8,515,046.19

8,350,000.00

8,420,087.00

94,959.19

(967.41
)


1.45

1.209

JD
35,649.85

(13,154.72
)
2/21/2013
12/15/2016
63307AAA3
NATIONAL BK OF CANADA SENIOR CORP BND
 
 
A
 
11,657,163.00

11,663,018.77

11,670,000.00

11,658,157.76

4,861.01

617.44



1.45

1.473

MN
67,686.00


11/2/2012
11/7/2017
73755LAG2
POTASH CORP OF SASKATCHEWAN IN CORP BND
 
 
A
 
1,776,592.85

1,765,855.91

1,655,000.00

1,773,345.37

(7,489.46
)
(3,247.48
)


3.75

0.85

MS
31,031.25

(26,893.75
)
3/1/2013
9/30/2015
78008K5X7
ROYAL BANK OF CANADA CORP BND
 
 
A
 
4,502,835.00

4,513,005.05

4,500,000.00

4,501,055.86

11,949.19

(248.82
)


0.603

0.553

JAJO
5,577.75

20,161.81

6/20/2011
4/17/2014
78008SD86
ROYAL BANK OF CANADA SENIOR CORP BND MTN
 
 
A
 
4,996,900.00

5,007,777.80

5,000,000.00

4,996,966.66

10,811.14

66.66



0.85

0.871

MS
2,715.28


3/5/2013
3/8/2016
78008SE28
ROYAL BANK OF CANADA SENIOR CORP BND MTN
 
 
A
 
13,250,000.00

13,257,551.44

13,250,000.00

13,250,000.00

7,551.44




0.65

0.65

MJSD
5,738.13


3/5/2013
3/8/2016
78008SVD5
ROYAL BANK OF CANADA SENIOR CORP BND MTN
 
 
A
 
4,094,875.00

4,118,203.71

4,100,000.00

4,095,085.16

23,118.55

210.16



1.5

1.526

JJ
13,154.17


1/7/2013
1/16/2018
891145TN4
TORONTO-DOMINION BANK/THE SECURED LOCAL
 
 
A
 
1,594,560.00

1,638,144.16

1,600,000.00

1,595,669.29

42,474.87

262.64



1.5

1.571

MS
1,200.00

12,000.00

3/5/2012
3/13/2017
89114QAC2
TORONTO-DOMINION BANK/THE CORP BND
 
 
A
 
2,300,000.00

2,306,026.02

2,300,000.00

2,300,000.00

6,026.02




0.605

0.549

JAJO
2,976.26

3,722.34

7/7/2011
7/14/2014
89114QAE8
TORONTO-DOMINION BANK/THE CORP BND
 
 
A
 
7,853,225.00

7,830,337.13

7,500,000.00

7,843,691.67

(13,354.54
)
(9,533.33
)


2.375

1.057

AO
80,156.25

(62,013.89
)
2/22/2013
10/19/2016
89153UAD3
TOTAL CAPITAL CANADA LTD SENIOR CORP BND
 
 
A
 
2,000,000.00

2,008,860.16

2,000,000.00

2,000,000.00

8,860.16




0.683

0.683

JAJO
2,797.20


1/10/2013
1/15/2016
893526DH3
TRANSCANADA PIPELINES LTD COUP CORP BND
 
 
A
 
3,673,161.75

3,876,033.49

3,675,000.00

3,674,165.52

201,867.97

91.48



3.4

3.411

JD
41,650.00


5/27/2010
6/1/2015
893526DL4
TRANSCANADA PIPELINES LTD COUP SENIOR
 
 
A
 
2,914,148.25

2,932,156.74

2,925,000.00

2,918,023.58

14,133.16

889.19



0.875

1.001

MS
2,061.72

12,796.89

2/28/2012
3/2/2015
98417EAU4
XSTRATA FINANCE (CANADA) LTD SENIOR CORP
 
 
A
 
4,128,053.20

4,177,182.54

4,135,000.00

4,128,623.30

48,559.24

324.74



2.45

2.486

AO
43,899.92


10/18/2012
10/25/2017
BRSBRN2H7
MEG ENERGY CORP TERM LOAN
 
 
A
 
7,182,270.41

7,252,306.88

7,164,541.25

7,163,659.54

88,647.34

43.97




(0.32
)
MJSD

67,886.23

5/29/2012
3/15/2018
BRSE99EZ9
TELESAT CANADA / TELESAT LLC SENIOR
 
 
A
 
7,897,824.98

8,026,809.56

7,937,512.54

7,903,342.15

123,467.41

1,492.65




0.071

MJSD

81,730.22

3/26/2012
3/28/2019
BRSFXW3C1
PROGRESSIVE WASTE SOLUTIONS LT SENIOR
 
 
A
 
585,582.37

597,170.43

588,525.00

585,748.74

11,421.69

111.20




0.071

JAJO

4,990.42

10/22/2012
10/24/2019
BRSFZGGS5
GARDA WORLD SEC SENIOR SECURED TERM LOAN
 
 
A
 
1,181,089.87

1,204,088.48

1,187,025.00

1,181,378.82

22,709.66

223.49




0.071

FMAN

7,288.75

10/24/2012
11/13/2019
BRSG101A0
CUNNINGHAM LINDSEY GROUP INC SENIOR
 
 
A
 










MJSD

1,477.78

00/00/0000
00/00/0000
BRSHG9DW2
SAXON ENERGY SERVICES INC SENIOR SECURED
 
 
A
 
1,432,800.00

1,450,800.00

1,440,000.00

1,432,912.12

17,887.88

112.12




0.083

MJSD

6,539.72

2/13/2013
2/13/2019
C8843QAB9
TERVITA CORP SENIOR SECURED TERM LOAN
 
 
A
 
1,524,600.00

1,561,660.10

1,540,000.00

1,524,762.16

36,897.94

162.16




0.192

MJSD


2/11/2013
5/15/2018
00182EAR0
ANZ NATIONAL INTERNATIONAL LTD SENIOR
 
 
F
 
9,996,500.00

9,999,630.70

10,000,000.00

9,996,515.61

3,115.09

15.61



1.125

1.137

MS
1,250.00


3/20/2013
3/24/2016
00448MAA9
ACHMEA HYPOTHEEKBANK N.V. - LT CORP BND
 
 
F
 
176,911.50

184,711.89

177,000.00

176,970.35

7,741.54

4.50



3.2

3.211

MN
2,328.53


10/26/2009
11/3/2014
034863AA8
ANGLO AMERICAN CAPITAL PLC CORP BND 144A
 
 
F
 
5,570,775.00

4,874,206.36

4,500,000.00

4,823,771.24

50,435.12

(77,288.76
)


9.375

2.197

AO
202,734.37


10/19/2010
4/8/2014
034863AE0
ANGLO AMERICAN CAPITAL PLC SENIOR CORP
 
 
F
 
4,989,050.00

5,118,991.85

5,000,000.00

4,991,120.40

127,871.45

516.15



2.625

2.672

AO
64,895.83


3/26/2012
4/3/2017



05541VAD8
BG ENERGY CAPITAL PLC CORP BND 144A
 
 
F
 
4,292,819.00

4,558,606.60

4,300,000.00

4,294,825.62

263,780.98

341.33



2.875

2.911

AO
57,004.86


10/6/2011
10/15/2016
055451AB4
BHP BILLITON FINANCE LTD CORP BND
 
 
F
 
1,742,200.00

1,738,833.52

1,550,000.00

1,736,980.95

1,852.57

(5,219.05
)


5.25

0.736

JD
23,960.42

(17,857.29
)
2/27/2013
12/15/2015
055451AG3
BHP BILLITON FINANCE (USA) LTD CORP BND
 
 
F
 
2,583,704.25

2,442,105.69

2,325,000.00

2,393,033.19

49,072.50

(24,285.80
)


5.5

2.518

AO
63,937.50

42,461.52

4/16/2010
4/1/2014
055451AM0
BHP BILLITON FINANCE (USA) LTD SENIOR
 
 
F
 
5,656,200.00

5,664,125.45

5,650,000.00

5,655,008.18

9,117.27

(1,191.82
)


0.56

0.581

FMAN
3,604.08

6,581.43

1/9/2013
2/18/2014
055451AN8
BHP BILLITON FINANCE (USA) LTD SENIOR
 
 
F
 
4,989,550.00

5,046,542.75

5,000,000.00

4,993,341.66

53,201.09

852.51



1

1.071

FA
5,138.89

25,000.00

2/21/2012
2/24/2015
055451AP3
BHP BILLITON FINANCE (USA) LTD SENIOR
 
 
F
 
6,706,708.00

6,850,583.72

6,725,000.00

6,710,601.06

139,982.66

877.34



1.625

1.682

FA
11,231.69

54,640.63

2/21/2012
2/24/2017
05565QBF4
BP CAPITAL MARKETS PLC CORP BND
 
 
F
 
2,258,382.50

2,108,958.00

2,050,000.00

2,083,579.31

25,378.69

(13,784.44
)


5.25

2.478

MN
43,050.00


12/21/2009
11/7/2013
05565QBH0
BP CAPITAL MARKETS PLC CORP BND
 
 
F
 
3,182,550.00

3,178,788.99

3,000,000.00

3,110,288.78

68,500.21

(13,766.45
)


3.875

1.935

MS
6,781.25

58,125.00

12/6/2011
3/10/2015
05565QBN7
BP CAPITAL MARKETS PLC CORP BND
 
 
F
 
2,991,480.00

3,166,456.38

3,000,000.00

2,995,571.72

170,884.66

417.57



3.125

3.187

AO
46,875.00


9/28/2010
10/1/2015
05565QBS6
BP CAPITAL MARKETS PLC CORP BND
 
 
F
 
1,490,000.00

1,498,090.69

1,490,000.00

1,490,000.00

8,090.69




0.881

0.91

MJSD
765.39

3,387.89

3/8/2011
3/11/2014
05565QBT4
BP CAPITAL MARKETS PLC CORP BND
 
 
F
 
4,773,490.00

4,934,891.66

4,750,000.00

4,767,104.98

167,786.68

(1,139.60
)


2.248

2.143

MN
44,491.67


11/1/2011
11/1/2016
05565QBX5
BP CAPITAL MARKETS PLC CORP BND
 
 
F
 
1,699,898.00

1,730,410.95

1,700,000.00

1,699,942.07

30,468.88

21.44



1.7

1.702

JD
9,312.23

17,741.38

12/1/2011
12/5/2014
05565QBY3
BP CAPITAL MARKETS PLC SENIOR CORP BND
 
 
F
 
8,000,000.00

8,178,827.52

8,000,000.00

8,000,000.00

178,827.52




1.846

1.846

MN
59,892.45


5/2/2012
5/5/2017
05565QCC0
BP CAPITAL MARKETS PLC SENIOR CORP BND
 
 
F
 
4,995,900.00

5,000,266.25

5,000,000.00

4,996,220.49

4,045.76

197.56



1.375

1.392

MN
27,690.97


11/1/2012
11/6/2017
06739FFZ9
BARCLAYS BANK PLC LOCAL BND
 
 
F
 
528,417.00

527,409.25

500,000.00

508,204.06

19,205.19

(1,556.98
)


5.2

3.869

JJ
5,850.00

13,000.00

10/21/2009
7/10/2014
06739FGF2
BARCLAYS BANK PLC CORP BND
 
 
F
 
5,638,250.00

5,616,353.60

5,000,000.00

5,620,931.18

(4,577.58
)
(17,318.82
)


5

1.329

MS
6,250.00

18,055.56

2/21/2013
9/22/2016
06741CAB0
BARCLAYS PLC SENIOR LOCAL BND 144A
 
 
F
 
1,393,294.00

1,460,689.99

1,400,000.00

1,394,434.60

66,255.39

319.90



2.25

2.352

MN
12,337.50


5/2/2012
5/10/2017
10778XAA4
BRFKREDIT AS CORP BND 144A
 
 
F
 
5,094,390.00

5,102,311.52

5,100,000.00

5,099,926.20

2,385.32

474.45



2.05

2.088

AO
48,209.17


4/8/2010
4/15/2013
20271RAA8
COMMONWEALTH BANK AUSTRALIA SENIOR CORP
 
 
F
 
2,149,183.00

2,195,986.87

2,150,000.00

2,149,461.82

46,525.05

66.64



1.95

1.963

MS
1,746.88

20,962.50

3/5/2012
3/16/2015
2027A0FP9
COMMONWEALTH BANK AUSTRALIA CORP BND
 
 
F
 
10,729,116.00

10,799,752.29

10,725,000.00

10,726,491.00

73,261.29

(381.66
)


1.01

0.995

MJSD
4,212.96

40,471.67

7/12/2011
3/17/2014
22546QAA5
CREDIT SUISSE GROUP CORP BND
 
 
F
 
2,186,460.00

2,101,259.00

2,000,000.00

2,053,462.98

47,796.02

(12,025.90
)


5.5

2.972

MN
45,833.33


5/19/2010
5/1/2014
22546QAG2
CREDIT SUISSE NEW YORK NY CORP BND
 
 
F
 
5,800,000.00

5,837,062.00

5,800,000.00

5,800,000.00

37,062.00




1.265

1.284

JAJO
15,693.03

19,063.11

12/28/2012
1/14/2014
25243YAR0
DIAGEO CAPITAL PLC SENIOR CORP BND
 
 
F
 
9,444,640.00

9,518,919.98

9,400,000.00

9,441,377.74

77,542.24

(2,454.06
)


1.5

1.389

MN
54,833.33


9/25/2012
5/11/2017
25600WAA8
DNB BOLIGKREDITT AS CORP BND 144A
 
 
F
 
9,671,647.51

9,943,007.81

9,600,000.00

9,643,525.54

299,482.27

(4,167.70
)


2.1

1.915

AO
93,519.99


11/14/2012
10/14/2015
25600WAB6
DNB BOLIGKREDITT AS CORP BND 144A
 
 
F
 
8,395,963.00

8,711,679.84

8,200,000.00

8,356,577.25

355,102.59

(21,281.04
)


2.9

2.234

MS
1,321.11

246,274.44

6/12/2012
3/29/2016
268317AA2
ELECTRICITE DE FRANCE CORP BND 144A
 
 
F
 
9,449,250.00

8,937,939.92

8,600,000.00

8,780,307.57

157,632.35

(53,704.88
)


5.5

2.893

JJ
85,402.78

236,500.00

1/6/2010
1/26/2014
273323AA3
EAST LANE RE LTD CORP BND
 
 
F
 
5,000,000.00

5,106,600.00

5,000,000.00

5,000,000.00

106,600.00




5.75

5.912

MJSD
13,576.39

70,297.83

3/1/2011
3/14/2016
273323AB1
EAST LANE RE IV LTD CORP BND 144A
 
 
F
 
2,000,000.00

2,071,820.00

2,000,000.00

2,000,000.00

71,820.00




6.65

6.704

MJSD
6,280.56

32,519.13

3/1/2011
3/13/2017
29079DAB2
EMBARCADERO REINSURANCE LTD CORP BND
 
 
F
 
6,500,000.00

6,729,255.00

6,500,000.00

6,500,000.00

229,255.00




5


JAJO
55,205.48

81,930.00

7/26/2012
2/7/2017
29268BAD3
ENEL FINANCE INTERNATIONAL NV CORP BND
 
 
F
 
1,241,598.75

1,255,506.11

1,225,000.00

1,230,883.06

24,623.05

(926.32
)


3.875

3.547

AO
22,943.23


3/30/2010
10/7/2014
35177PAS6
FRANCE TELECOM CORP BND
 
 
F
 
2,247,594.04

2,207,306.58

2,116,000.00

2,157,265.40

50,041.18

(7,923.30
)


4.375

2.801

JJ
21,343.68

46,287.50

4/14/2010
7/8/2014
35177PAU1
FRANCE TELECOM CORP BND
 
 
F
 
996,600.00

1,024,881.21

1,000,000.00

998,283.29

26,597.92

167.89



2.125

2.197

MS
885.42

10,625.00

9/7/2010
9/16/2015
377373AC9
GLAXOSMITHKLINE CAPITAL PLC SENIOR CORP
 
 
F
 
6,277,383.00

6,399,854.44

6,300,000.00

6,281,305.08

118,549.36

1,094.52



1.5

1.575

MN
37,537.49


5/2/2012
5/8/2017
423012AB9
HEINEKEN N.V. SENIOR CORP BND 144A
 
 
F
 
6,478,039.23

6,479,210.92

6,500,000.00

6,478,874.63

336.29

640.78



1.4

1.475

AO
43,225.00

(15,166.67
)
2/14/2013
10/1/2017



423012AC7
HEINEKEN N.V. SENIOR CORP BND 144A
 
 
F
 
1,993,785.13

1,990,751.47

1,995,000.00

1,993,975.94

(3,224.47
)
99.26



0.8

0.821

AO
7,581.00


10/3/2012
10/1/2015
44328MAB0
HSBC BANK PLC CORP BND 144A
 
 
F
 
9,329,572.40

9,487,366.68

8,980,000.00

9,283,341.93

204,024.75

(29,086.95
)


3.5

1.94

JD
81,194.17

(5,638.89
)
2/21/2013
6/28/2015
44920UAC2
HYUNDAI CAP SVC CORP BND 144A
 
 
F
 
2,982,210.00

3,241,757.37

3,000,000.00

2,988,739.60

253,017.77

775.95



4.375

4.498

JJ
23,333.33

65,625.00

1/20/2011
7/27/2016
449786AN2
ING BANK NV CORP BND 144A
 
 
F
 
2,375,000.00

2,402,431.23

2,375,000.00

2,375,000.00

27,431.23




1.681

1.652

MJSD
2,328.33

10,260.00

6/1/2011
6/9/2014
449786AR3
ING BANK NV CORP BND 144A
 
 
F
 
3,714,234.75

3,784,268.29

3,725,000.00

3,716,049.61

68,218.68

868.60



2

2.1

MS
1,241.67

37,250.00

9/18/2012
9/25/2015
449786AW2
ING BANK NV SENIOR CORP BND 144A
 
 
F
 
8,120,000.00

8,115,290.48

8,120,000.00

8,120,000.00

(4,709.52
)



1.231

1.231

MJSD
6,942.03


2/28/2013
3/7/2016
449786AX0
ING BANK NV SENIOR CORP BND 144A
 
 
F
 
748,440.00

746,969.32

750,000.00

748,474.69

(1,505.37
)
34.69



1.375

1.446

MS
687.50


2/28/2013
3/7/2016
502441AA6
LVMH MOET HENNESSY LOUIS VUITT SENIOR
 
 
F
 
3,041,246.50

3,071,405.53

3,050,000.00

3,042,523.38

28,882.15

420.21



1.625

1.685

JD
12,665.98


6/26/2012
6/29/2017
541502AB6
LOMA REINSURANCE LTD CORP BND 144A
 
 
F
 
4,000,000.00

4,108,520.00

4,000,000.00

4,000,000.00

108,520.00




18

18.421

MJSD
62,000.00

176,000.43

12/22/2011
1/9/2014
55607EAA8
MACQUARIE GROUP LTD -GTD CORP BND GOVT
 
 
F
 
4,678,890.29

4,615,024.64

4,500,000.00

4,534,796.69

80,227.95

(11,965.71
)


4.1

2.992

JD
53,300.00


2/19/2010
12/17/2013
55608PAA2
MACQUARIE BANK LTD CORP BND 144A
 
 
F
 
5,996,040.00

6,535,654.92

6,000,000.00

5,996,833.49

538,821.43

180.31



5

5.015

FA
32,500.00

150,000.00

2/14/2012
2/22/2017
612098AC7
MONTANA RE LTD SENIOR CORP BND 144A
 
 
F
 
10,002,000.00

9,840,000.00

10,000,000.00

10,001,842.19

(161,842.19
)
(329.76
)


12.181

12.481

MJSD
84,590.97

305,262.50

11/30/2012
1/8/2014
612098AD5
MONTANA RE LTD CORP BND 144A
 
 
F
 
9,004,500.00

9,024,300.00

9,000,000.00

9,003,921.82

20,378.18

(787.50
)


16.681

17.115

MJSD
104,256.88

375,986.25

11/30/2012
1/8/2014
63253WAA9
NATIONAL AUSTRALIA BANK SECURED LOCAL
 
 
F
 
3,993,960.00

4,149,320.08

4,000,000.00

3,994,863.50

154,456.58

288.18



2

2.032

JD
22,444.44


6/12/2012
6/20/2017
6325C0CA7
NATIONAL AUSTRALIA BANK SENIOR CORP BND
 
 
F
 
4,600,000.00

4,632,936.14

4,600,000.00

4,600,000.00

32,936.14




1.025

1.01

JAJO
10,477.77

12,558.00

4/6/2011
4/11/2014
654624AE5
NTT CORP SENIOR CORP BND
 
 
F
 
4,459,748.50

4,467,824.83

4,450,000.00

4,458,465.36

9,359.47

(475.18
)


1.4

1.354

JJ
12,633.05

31,150.00

7/23/2012
7/18/2017
65557CAG8
NORDEA BANK AB CORP BND 144A
 
 
F
 
3,075,000.00

3,094,649.25

3,075,000.00

3,075,000.00

19,649.25




1.205

1.203

JAJO
7,925.38

9,655.50

1/11/2011
1/14/2014
65557FAC0
NORDEA BANK AB SENIOR CORP BND 144A
 
 
F
 
3,118,343.75

3,201,213.13

3,125,000.00

3,120,583.36

80,629.77

541.69



2.25

2.324

MS
2,148.44

35,156.25

3/14/2012
3/20/2015
69353UAB7
PPL WEM HOLDINGS PLC CORP BND 144A
 
 
F
 
3,397,355.00

3,427,094.64

3,250,000.00

3,361,574.30

65,520.34

(8,589.22
)


3.9

2.731

MN
52,812.50


3/9/2012
5/1/2016
709629AA7
PENTAIR FINANCE SA UNSECURED CORP BND
 
 
F
 
4,533,599.25

4,537,244.96

4,525,000.00

4,533,629.26

3,615.70

(4.35
)


1.35

1.277

JD
21,210.94

(7,068.75
)
3/19/2013
12/1/2015
74977EPY3
RABOBANK NEDERLAND NV SENIOR CORP BND
 
 
F
 
10,025,000.00

10,019,085.46

10,025,000.00

10,025,000.00

(5,914.54
)



0.76

0.761

MJSD
2,539.99


3/12/2013
3/18/2016
74977EPZ0
RABOBANK NEDERLAND NV SENIOR CORP BND
 
 
F
 
4,989,050.00

4,996,736.55

5,000,000.00

4,989,124.37

7,612.18

74.37



1.7

1.746

MS
2,833.33


3/12/2013
3/19/2018
74977RBQ6
RABOBANK NEDERLAND NV CORP BND 144A
 
 
F
 
5,051,420.50

5,033,121.60

4,850,000.00

4,904,538.35

128,583.25

(11,895.21
)


4.2

3.166

MN
78,085.00


1/8/2010
5/13/2014
74977RCE2
RABOBANK NEDERLAND NV CORP BND 144A
 
 
F
 
1,598,896.00

1,670,885.99

1,600,000.00

1,599,550.07

71,335.92

55.28



3.2

3.215

MS
2,844.44

25,600.00

3/4/2010
3/11/2015
76112NAB0
RESIDENTIAL REINSURANCE 2012 L
 
 
F
 
4,000,000.00

4,204,680.00

4,000,000.00

4,000,000.00

204,680.00




8

8.071

MJSD
23,111.11

80,009.68

5/18/2012
6/6/2016
76112NAC8
RESIDENTIAL REINSURANCE 2012 L UNSECURED
 
 
F
 
5,000,000.00

4,980,300.00

5,000,000.00

5,000,000.00

(19,700.00
)



22

22

MJSD
79,444.44

275,012.10

5/18/2012
6/6/2018
767201AF3
RIO TINTO FINANCE USA LIMITED CORP BND
 
 
F
 
4,576,294.00

4,024,732.10

3,700,000.00

3,977,352.56

47,379.54

(62,839.65
)


8.95

1.92

MN
137,979.17


10/28/2010
5/1/2014
767201AJ5
RIO TINTO FINANCE (USA) LTD CORP BND
 
 
F
 
1,298,947.00

1,333,122.08

1,300,000.00

1,299,443.17

33,678.91

52.10



1.875

1.892

MN
10,088.54


10/28/2010
11/2/2015
767201AM8
RIO TINTO FINANCE LTD CORP BND
 
 
F
 
4,651,892.50

4,823,118.95

4,625,000.00

4,657,003.71

166,115.24

(427.05
)


2.5

2.265

MN
42,074.65

(6,666.67
)
2/21/2013
5/20/2016
76720AAB2
RIO TINTO FINANCE (USA) PLC SENIOR CORP
 
 
F
 
4,019,848.00

4,119,038.37

4,025,000.00

4,020,864.55

98,173.82

247.01



2

2.027

MS
2,012.50

40,250.00

3/19/2012
3/22/2017
78572MAD7
SABMILLER PLC CORP BND 144A
 
 
F
 
6,725,979.00

6,658,719.54

5,700,000.00

6,507,281.05

151,438.49

(59,957.59
)


6.5

1.971

JJ
92,625.00

185,250.00

10/4/2012
7/1/2016
80105NAC9
SANOFI CORP BND
 
 
F
 
7,240,920.00

7,239,205.64

7,220,000.00

7,227,655.44

11,550.20

(1,905.66
)


0.594

0.478

MJSD
476.20

15,762.47

7/7/2011
3/28/2014
806854AA3
SCHLUMBERGER INVESTMENT SA CORP BND 144A
 
 
F
 
1,503,915.00

1,546,366.30

1,500,000.00

1,504,572.08

41,794.22

86.28



1.95

1.857

MS
1,381.25

12,534.17

3/22/2013
9/14/2016
806854AC9
SCHLUMBERGER INVESTMENT SA SENIOR CORP
 
 
F
 
5,922,669.00

5,917,124.34

5,875,000.00

5,910,879.95

6,244.39

(4,638.51
)


0.83

0.546

MJSD
2,709.36

8,909.77

2/26/2013
9/12/2014



80685PAC2
SCHLUMBERGER NORGE AS CORP BND 144A
 
 
F
 
1,622,156.25

1,675,230.16

1,625,000.00

1,623,007.46

52,222.70

137.72



1.95

1.987

MS
1,496.35

15,843.75

9/7/2011
9/14/2016
80685PAD0
SCHLUMBERGER NORGE AS SENIOR CORP BND
 
 
F
 
1,368,739.60

1,367,477.87

1,370,000.00

1,368,902.98

(1,425.11
)
139.58



1.25

1.269

FA
2,854.17

38,957.29

7/24/2012
8/1/2017
822582AF9
SHELL INTERNATIONAL FINANCE BV CORP BND
 
 
F
 
4,487,580.50

4,398,464.03

4,250,000.00

4,309,213.95

89,250.08

(14,880.95
)


4

2.537

MS
4,722.23

85,000.00

3/2/2010
3/21/2014
822582AQ5
SHELL INTERNATIONAL FINANCE BV CORP BND
 
 
F
 
6,148,980.00

6,333,975.66

6,000,000.00

6,100,286.93

233,688.73

(11,744.30
)


3.1

2.321

JD
48,050.00

16,231.94

2/14/2012
6/28/2015
830505AP8
SKANDINAVISKA ENSKILDA BANKEN SENIOR
 
 
F
 
4,971,250.00

4,996,740.35

5,000,000.00

4,971,444.72

25,295.63

194.72



1.75

1.871

MS
2,916.67


3/13/2013
3/19/2018
84650WAA4
SPAREBNK 1 BOLIG LOCAL BND 144A
 
 
F
 
3,711,358.00

3,717,607.89

3,700,000.00

3,706,360.93

11,246.96

(2,774.02
)


1.25

0.945

AO
20,041.66


9/11/2012
10/25/2013
84650WAB2
SPAREBNK 1 BOLIG SECURED LOCAL BND 144A
 
 
F
 
7,999,374.10

8,218,470.42

7,800,000.00

7,982,186.85

236,283.57

(21,266.23
)


2.625

1.85

MN
70,525.00

48,212.50

12/6/2012
5/27/2016
84650WAD8
SPAREBNK 1 BOLIG LOCAL BND 144A
 
 
F
 
5,486,580.00

5,751,514.89

5,500,000.00

5,488,927.88

262,587.01

613.16



2.3

2.35

JD
31,976.38


3/29/2012
6/30/2017
84650WAE6
SPAREBNK 1 BOLIG SECURED LOCAL BND 144A
 
 
F
 
5,854,157.00

5,850,794.00

5,900,000.00

5,856,471.34

(5,677.34
)
1,531.55



1.75

1.869

MN
38,718.75


11/7/2012
11/15/2019
85235XAA3
STADSHYPOTEK AB CORP BND 144A
 
 
F
 
7,868,143.26

7,844,663.81

7,800,000.00

7,812,653.91

32,009.90

(6,324.36
)


1.45

1.12

MS
314.17

56,550.00

6/9/2011
9/30/2013
86959LAA1
SVENSKA HANDELSBANKEN AB CORP BND 144A
 
 
F
 
5,525,874.00

5,646,024.00

5,400,000.00

5,433,939.43

212,084.57

(7,907.44
)


4.875

4.328

JD
81,168.75

14,218.75

8/31/2009
6/10/2014
87020LAB2
SWEDBANK HYPOTEK AB CORP BND 144A
 
 
F
 
8,200,000.00

8,163,485.89

8,200,000.00

8,200,000.00

(36,514.11
)



0.734

0.758

MJSD
668.39

15,554.92

3/21/2011
3/28/2014
872882AC9
TSMC GLOBAL LTD SENIOR CORP BND 144A
 
 
F
 
5,711,170.95

5,711,170.89

5,715,000.00

5,711,170.95

(0.06
)



1.625

1.639

AO


3/27/2013
4/3/2018
874060AB2
TAKEDA PHARMACEUTICAL CO LTD UNSECURED
 
 
F
 
8,819,922.50

8,858,169.34

8,750,000.00

8,814,578.77

43,590.57

(2,133.15
)


1.625

1.432

MS
5,529.52

54,392.36

3/19/2013
3/17/2017
87938WAL7
TELEFONICA EMISIONES SAU CORP BND
 
 
F
 
2,574,999.99

2,575,000.00

2,500,000.00

2,561,936.27

13,063.73

(7,174.26
)


3.729

2.494

AO
39,879.58


10/16/2012
4/27/2015
88165FAC6
TEVA PHARMAC FIN CORP BND
 
 
F
 
2,501,975.00

2,615,047.65

2,500,000.00

2,501,454.03

113,593.62

(95.66
)


2.4

2.383

MN
23,500.00


11/8/2011
11/10/2016
88166CAA6
TEVA PHARMACEUTICAL FINANCE II CORP BND
 
 
F
 
8,674,806.79

8,908,840.15

8,500,000.00

8,672,271.78

236,568.37

(5,485.01
)


3

2.044

JD
75,083.33

(23,333.33
)
2/28/2013
6/15/2015
88166DAB2
TEVA PHARMACEUTICAL FINANCE II CORP BND
 
 
F
 
2,450,000.00

2,456,205.26

2,450,000.00

2,450,000.00

6,205.26




0.782

0.809

MJSD
585.49

4,961.25

3/16/2011
3/21/2014
89152UAE2
TOTAL CAPITAL S.A. CORP BND
 
 
F
 
3,495,859.00

3,485,853.76

3,350,000.00

3,486,315.43

(461.67
)
(10,414.52
)


2.3

0.901

MS
3,424.44

32,560.97

1/11/2013
3/15/2016
89153VAA7
TOTAL CAPITAL INTERNATIONAL SA CORP BND
 
 
F
 
3,310,503.00

3,376,139.83

3,325,000.00

3,313,648.81

62,491.02

697.65



1.5

1.591

FA
6,095.84

24,937.50

2/14/2012
2/17/2017
89153VAC3
TOTAL CAPITAL INTERNATIONAL SA CORP BND
 
 
F
 
5,739,247.50

5,836,845.75

5,750,000.00

5,740,824.90

96,020.85

593.50



1.55

1.589

JD
23,023.96

3,487.50

6/21/2012
6/28/2017
89153VAD1
TOTAL CAPITAL INTERNATIONAL SA SENIOR
 
 
F
 
2,173,434.00

2,177,645.24

2,175,000.00

2,173,670.79

3,974.45

140.68



0.75

0.772

JJ
2,990.63

12,375.00

9/18/2012
1/25/2016
902674MY3
UBS AG LONDON BRANCH CORP BND 144A
 
 
F
 
4,975,000.00

5,118,149.95

5,000,000.00

4,984,706.79

133,443.16

2,049.70



1.875

2.048

JJ
17,708.33

46,875.00

1/19/2012
1/23/2015
90349CAB0
UBS AG LONDON BRANCH SENIOR CORP BND
 
 
F
 
1,994,860.00

1,997,440.04

2,000,000.00

1,994,887.68

2,552.36

27.68



0.75

0.837

MS
208.33


3/21/2013
3/24/2016
92857WAY6
VODAFONE GROUP PLC SENIOR CORP BND
 
 
F
 
8,042,072.97

7,981,991.57

8,067,000.00

8,044,572.28

(62,580.71
)
1,202.46



1.25

1.314

MS
1,400.52

50,418.75

9/19/2012
9/26/2017
92857WBA7
VODAFONE GROUP PLC SENIOR CORP BND
 
 
F
 
4,035,475.20

4,028,965.47

4,040,000.00

4,035,644.04

(6,678.57
)
352.52



0.9

0.938

FA
4,242.00

4,770.00

2/11/2013
2/19/2016
92857WBB5
VODAFONE GROUP PLC SENIOR CORP BND
 
 
F
 
9,120,000.00

9,111,062.40

9,120,000.00

9,120,000.00

(8,937.60
)



0.678

0.678

FMAN
7,043.20


2/11/2013
2/19/2016
92857WBE9
VODAFONE GROUP PLC SENIOR CORP BND
 
 
F
 
4,977,000.00

4,980,377.60

5,000,000.00

4,977,502.55

2,875.05

502.55



1.5

1.596

FA
8,750.00


2/11/2013
2/19/2018
928670AE8
VOLKSWAGEN INTERNATIONAL FIN N CORP BND
 
 
F
 
8,105,061.80

8,092,523.92

8,080,000.00

8,088,971.19

3,552.73

(2,206.05
)


0.918

0.784

JAJO
18,543.60

20,034.59

7/12/2011
4/1/2014
928670AP3
VOLKSWAGEN INTERNATIONAL FIN N SENIOR
 
 
F
 
2,077,535.70

2,094,877.96

2,085,000.00

2,078,059.86

16,818.10

357.38



1.6

1.675

MN
12,139.33


11/13/2012
11/20/2017
928670AR9
VOLKSWAGEN INTERNATIONAL FIN N SENIOR
 
 
F
 
5,000,000.00

5,019,649.90

5,000,000.00

5,000,000.00

19,649.90




0.889

0.912

FMAN
4,939.44

11,646.94

11/13/2012
11/20/2014
950840AC2
WESFARMERS LTD SENIOR CORP BND 144A
 
 
F
 
2,185,000.00

2,207,866.88

2,185,000.00

2,185,000.00

22,866.88




1.874

1.874

MS
1,251.16


3/13/2013
3/20/2018
961214BN2
WESTPAC BANKING CORP CORP BND
 
 
F
 
2,367,157.50

2,362,105.01

2,250,000.00

2,364,517.97

(2,412.96
)
(2,639.53
)


3

0.8

FA
10,687.50

(7,125.00
)
3/7/2013
8/4/2015
961214BX0
WESTPAC BANKING CORP SENIOR CORP BND
 
 
F
 
4,000,000.00

4,038,160.40

4,000,000.00

4,000,000.00

38,160.40




1.044

1.131

MJSD
696.07

10,462.22

9/18/2012
9/25/2015



961214BY8
WESTPAC BANKING CORP SENIOR CORP BND
 
 
F
 
4,539,773.25

4,546,698.06

4,545,000.00

4,540,139.74

6,558.32

366.49



0.95

0.989

JJ
9,235.19


1/7/2013
1/12/2016
961214BZ5
WESTPAC BANKING CORP SENIOR CORP BND MTN
 
 
F
 
6,997,970.00

7,037,382.45

7,000,000.00

6,998,052.42

39,330.03

82.42



1.6

1.606

JJ
23,955.55


1/7/2013
1/12/2018
96122WAC4
WESTPAC BANKING CORP LOCAL BND 144A
 
 
F
 
2,000,000.00

2,026,546.88

2,000,000.00

2,000,000.00

26,546.88




1.103

1.255

JAJO
4,534.56

5,728.28

7/10/2012
7/17/2015
9612E0CD7
WESTPAC BANKING CORP CORP BND 144A
 
 
F
 
2,702,241.00

2,719,035.06

2,700,000.00

2,700,831.86

18,203.20

(204.70
)


1.014

0.945

MJSD
228.06

6,792.53

7/12/2011
3/31/2014
9612EAAB1
WESTPAC SECURITIES NZ LTD CORP BND GOVT
 
 
F
 
3,130,512.81

3,225,798.19

3,100,000.00

3,111,343.17

114,455.02

(2,069.42
)


3.45

3.166

JJ
18,716.25

53,475.00

11/12/2010
7/28/2014
9612EMAH2
WESTPAC BANKING CORP - GTD CORP BND GOVT
 
 
F
 
3,031,440.00

3,108,240.06

3,000,000.00

3,010,820.70

97,419.36

(2,827.21
)


2.9

2.643

MS
5,075.00

82,166.67

4/28/2010
9/10/2014
BRSBN61P1
TOMKINS PLC TERM LOAN
 
 
R
 
2,478,724.61

2,585,327.00

2,553,396.78

2,501,392.10

83,934.90

3,790.37




0.581

JAJO

35,951.16

8/17/2011
00/00/0000
BRSESZBW0
VOLKSWAGEN FIN SERV N.V. CORP BND EMTN
 
 
D
 
1,535,202.78

1,477,204.86

950,000.00

1,534,062.63

(56,857.77
)
(836.07
)

(83,225.58
)
2

1.767

AO
12,006.74


10/30/2012
10/23/2015
BRSFVFMJ4
INTELSAT JACKSON SENIOR SECURED TERM
 
 
F
 
2,683,275.00

2,726,542.81

2,683,275.00

2,683,275.00

43,267.81






JAJO

30,596.23

9/26/2012
4/2/2018
BRSG6SMY9
TOMKINS PLC SENIOR SECURED TERM NOTES
 
 
R
 
2,488,563.00

2,554,547.63

2,513,700.00

2,489,915.05

64,632.58

1,101.75




0.167

FMAN

27,650.00

11/5/2012
11/9/2018
BRSGCL7G3
SILVER II BORROWER SCA TERM LOAN
 
 
R
 





25,509.93





MJSD

44,103.75

00/00/0000
00/00/0000
BRSGE3X31
DAIMLERCHRYSLER AG CORP BND
 
 
D
 
1,603,903.55

1,531,954.03

1,000,000.00

1,604,482.60

(72,528.57
)
465.31


(90,907.22
)
1.375

1.492

DEC
6,021.82


12/3/2012
12/10/2015
BRSH3M7X2
US COATINGS ACQUISITION INC / SENIOR
 
 
F
 
1,712,700.00

1,755,863.50

1,730,000.00

1,713,017.81

42,845.69

317.81




0.142

JAJO

9,815.35

1/17/2013
2/3/2020
BRSHAG9G2
SILVER II BORROWER SCA SENOIR SECURED
 
 
R
 
2,558,587.50

2,583,469.76

2,558,587.50

2,558,587.50

24,882.26






FMAN

7,980.00

2/1/2013
12/13/2019
BRSHC8K00
VIRGIN MEDIA INV SENIOR SECURED TERM
 
 
F
 
9,474,747.47

9,354,767.80

9,380,000.00

9,474,747.47

(119,979.67
)




(0.145
)
FMAN


2/15/2013
2/14/2020
BRSHG9BV6
FIRTH RIXSON LTD SENIOR SECURED TERM
 
 
F
 
498,750.00

503,946.98

498,750.00

498,750.00

5,196.98






MJSD

1,239.58

2/12/2013
6/30/2017
BRSHLFWA9
TRONOX PIGMENTS (NETHERLANDS) SENIOR
 
 
F
 
1,771,100.00

1,808,364.30

1,780,000.00

1,771,100.00

37,264.30





0.072

MS


3/13/2013
3/15/2020
BRSHLJUD7
AI CHEM & CY SCA SENIOR SECURED TERM
 
 
F
 
1,084,550.00

1,104,987.50

1,090,000.00

1,084,550.00

20,437.50





0.078

MJSD


3/12/2013
9/12/2019
BRSHRTUA5
ISS GLOBAL A/S SENIOR SECURED TERM LOAN
 
 
F
 
1,775,550.00

1,790,235.00

1,780,000.00

1,775,550.00

14,685.00





0.051

MJSD


3/26/2013
3/24/2018
D4085DTN7
KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
 
D
 
1,685,172.12

1,599,591.57

1,000,000.00

1,662,948.41

(63,356.84
)
(6,261.98
)

(85,108.27
)
2.75

1.108

SEP
22,225.12


10/30/2012
9/7/2015
G08820EL5
BAT INTL FIN PLC SENIOR CORP BND EMTN
 
 
F
 
2,841,307.50

2,849,544.03

2,850,000.00

2,841,360.31

8,183.72

52.81



1.125

1.225

MAR
534.38


3/20/2013
3/29/2016
G089B6CD0
BARCLAYS BANK PLC - GTD SENIOR CORP BND
 
 
D
 
2,994,579.49

2,977,287.90

1,900,000.00

2,997,847.13

(20,559.23
)
812.40


(125,962.35
)
1.5

1.612

APR
41,037.63


3/28/2012
4/4/2017
G0R53VAJ0
HEATHROW FUNDING LTD SECURED CORP BND
 
 
D
 
781,905.31

786,974.22

500,000.00

782,448.24

4,525.98

166.64


(24,701.80
)
3

3.093

JD
6,740.63


5/29/2012
6/8/2015
G2551TAP3
COVENTRY BLDG SOC LOCAL BND EMTN
 
 
D
 
1,220,911.03

1,165,643.34

750,000.00

1,218,126.29

(52,482.95
)
(785.91
)

(73,603.14
)
2.11

2.333

FMAN
3,124.21

6,303.05

5/10/2012
2/10/2015
G29330DW7
LONDON POWER NETWORKS PLC LOCAL BND
 
 
D
 
911,019.43

939,297.91

550,000.00

912,103.13

27,194.78

86.86


(78,228.12
)
5.375

5.107

NOV
16,512.78


11/6/2009
11/11/2016
G2937LAB6
EDWARDS (CAYMAN ISLANDS II) LT SENIOR
 
 
F
 
2,534,400.00

2,572,800.00

2,560,000.00

2,534,400.00

38,400.00





0.145

MJSD


3/22/2013
3/22/2020
G6459EAB1
NETWORK RAIL INFRA FIN CORP BND GOVT
 
 
D
 
4,366,114.51

4,313,790.78

2,800,000.00

4,367,930.20

(54,139.42
)
278.56


(118,925.68
)
1.25

1.281

JAN
9,594.82

55,996.57

1/4/2012
1/22/2015
G92087EB0
UNILEVER PLC LOCAL BND EMTN
 
 
D
 
1,267,394.98

1,219,641.29

700,000.00

1,231,831.90

(12,190.61
)
(6,421.71
)

(59,120.21
)
4.75

2.143

JUN
38,768.71


11/9/2011
6/16/2017
G9853MHT3
YORKSHIRE BUILDING SOCIETY LOCAL BND
 
 
D
 
1,390,156.29

1,390,832.54

800,000.00

1,376,921.48

13,911.06

(3,710.70
)

(83,198.06
)
4.75

3.298

APR
52,340.69


5/10/2012
4/12/2018
N7277KAG6
RABOBANK NEDERLAND NV CORP BND MTN
 
 
D
 
569,164.74

566,544.01

350,000.00

570,649.09

(4,105.08
)
110.03


(40,256.66
)
4

4.047

SEP
11,180.35


9/3/2009
9/10/2015
Q3930AAB4
FMG RESOURCES (AUGUST 2006) PT SENIOR
 
 
F
 
7,789,276.71

7,976,140.67

7,867,956.27

7,794,717.10

181,423.57

4,913.13




0.203

JAJO

112,763.01

10/12/2012
10/18/2017
Q6775DAB9
NINE ENTERTAINMENT GROUP LIMIT SENIRO
 
 
F
 
1,553,056.25

1,562,775.00

1,555,000.00

1,553,064.01

9,710.99

7.76




0.018

MJSD


1/31/2013
1/31/2020
S3373C197
GROWTHPOINT PROPERTIES LTD LOCAL BOND
 
 
D
 
987,968.74

981,123.76

9,000,000.00

987,968.74

(6,844.98
)


(6,983.50
)
5.271

5.271

JAJO
8,524.93


1/28/2013
4/30/2015
W6314JBT7
NORDEA BANK AB SENIOR CORP BND EMTN
 
 
D
 
1,434,666.69

1,389,384.92

915,000.00

1,434,752.30

(45,367.38
)
85.61


(47,330.16
)
0.961

1.011

FMAN
1,590.39


2/7/2013
2/15/2016



W86201RD9
STADSHYPOTEK AB SECURED LOCAL BND
 
 
D
 
1,566,300.00

1,518,870.38

1,000,000.00

1,566,300.00

(47,429.62
)


(47,850.00
)
0.97

0.97

FMAN
1,758.68


2/11/2013
2/15/2016
05948XYC9
BOAMS WHOLE CMO 03-J-2A1
 
 
 
 
42,916.78

43,559.30

43,539.23

42,962.51

596.79

42.87



3.187

3.514

MON
115.62

363.72

11/30/2007
11/25/2033
07384M3D2
BSARM CMO 04-9 22A1
 
 
 
 
942,855.10

964,299.52

961,116.30

944,199.40

20,100.12

937.56



3.485

3.864

MON
2,791.00

8,677.63

8/13/2007
11/25/2034
07387AAW5
BSARM CMO_05-3 2A1
 
 
 
 
1,172,422.12

1,077,439.28

1,194,444.69

1,174,064.93

(96,625.65
)
611.03



2.973

3.275

MON
2,958.83

9,039.24

8/10/2007
6/25/2035
12668AZL2
CWALT CMO_05-64CB 1A
 
 
 
 
335,625.51

300,357.45

342,147.71

335,375.47

(35,018.02
)
(4,107.33
)


5.5

5.857

MON
1,568.18

4,874.70

1/2/2008
00/00/0000
161630BD9
CHASE CMO_07-A1 11M1
 
 
 
 
2,938,603.29

2,459,580.79

2,910,746.50

2,935,953.33

(476,372.54
)
(40,843.36
)


2.799

2.609

MON
6,789.61

21,682.36

1/18/2008
3/25/2037
362341RT8
GSAA WHOLE CMO 05-AR6 1A1
 
 
 
 
152,968.10

156,037.28

154,488.84

153,187.18

2,850.10

77.53



2.675

2.967

MON
344.39

1,064.28

11/21/2007
9/25/2035
466247E74
JPMMT CMO_06-A1 2A2
 
 
 
 
85,898.04

76,017.23

85,830.97

85,866.26

(9,849.03
)
(1.76
)


2.851

2.821

MON
203.93

622.88

2/6/2008
2/25/2036
61746REV9
MSAC ABS 04-H1
 
 
 
 
941,018.20

920,591.92

939,550.16

940,476.67

(19,884.75
)
(12.40
)


0.944

0.932

MON
172.50

2,195.25

1/25/2013
1/25/2034
62888UAA8
NGN_10-R2 CMBS_10-R2 1A
 
 
 
 
3,428,463.52

3,441,320.26

3,428,463.52

3,428,463.52

12,856.74




0.573

0.574

MON
1,419.31

5,184.91

6/10/2011
11/6/2017
62888VAA6
NCUA GUARANTEED NOTES NGN_10-R CMO_10-R1
 
 
 
 
1,136,019.23

1,142,415.02

1,136,019.23

1,136,019.23

6,395.79




0.653

0.654

MON
515.31

1,938.79

6/10/2011
10/7/2020
62889EAA3
NGN_11-R3 NGN_11-R3 1A
 
 
 
 
8,333,371.22

8,353,853.33

8,322,643.42

8,332,218.21

21,635.12

(811.44
)


0.6

0.57

MON
2,923.60

13,165.13

6/15/2012
3/11/2020
62889GAA8
NCUA GUARANTEED NOTES CMO 11-R5 1A
 
 
 
 
2,997,463.86

3,004,028.31

2,997,463.86

2,997,463.86

6,564.45

(6.94
)


0.583

0.584

MON
1,262.53

4,718.37

6/10/2011
4/6/2020
62951MAY6
NOMURA ASSET ACCEPTANCE CORPOR WHOLE CMO
 
 
 
 
806,661.67

837,207.50

798,427.86

805,712.98

31,494.52

(168.45
)


6.5

6.278

MON
4,324.82

13,109.69

10/3/2007
2/25/2035
76111XYJ6
RES FUND MTG SEC I CMO_05-SA4 2A2
 
 
 
 
986,920.75

941,850.68

1,022,715.80

991,443.28

(49,592.60
)
(407.87
)


3.194

3.991

MON
2,722.00

8,361.60

8/16/2007
9/25/2035
92922F3N6
WAMU_05-A12 CMO_05-AR12 1A8
 
 
 
 
3,070,324.50

2,967,322.91

3,101,827.45

3,072,190.17

(104,867.26
)
916.46



2.463

2.659

MON
6,366.76

19,458.81

1/10/2008
10/25/2035
93934FEN8
WMALT_05-5 CMO 05-9-2A2
 
 
 
 
3,716,822.54

3,618,268.45

4,056,559.41

3,747,288.04

(129,019.59
)
(22,206.72
)


5.5

7.498

MON
18,592.56

56,430.28

12/17/2007
11/25/2035
949781AA6
WFMBS CMO 05-AR1 1A1
 
 
 
 
2,133,770.22

2,164,199.16

2,185,920.65

2,139,386.24

24,812.92

2,094.30



2.611

3.047

MON
4,756.07

14,646.65

12/5/2006
2/25/2035
949781AC2
WFMBS CMO 05-AR1 2A1
 
 
 
 
531,583.04

536,658.45

544,864.10

532,514.27

4,144.18

1,386.74



2.61

3.263

MON
1,185.08

3,840.50

5/27/2008
2/25/2035
949797AA2
WFMBS WHOLE CMO 07-15 A1
 
 
 
 
218,683.76

217,308.61

217,308.61

218,549.64

(1,241.03
)
(74.39
)


6

5.792

MON
1,086.54

3,382.08

1/17/2008
11/25/2037
94980RAC1
WFMBS_04-Z CMO 04-Z-2A1
 
 
 
 
173,302.03

177,297.27

174,831.79

173,460.48

3,836.79

71.79



2.624

2.809

MON
382.27

1,182.30

1/14/2008
12/25/2034
94981NAH8
WFMBS_05-AR4 CMO 05-AR4 2A2
 
 
 
 
1,613,916.97

1,687,793.31

1,660,555.22

1,620,134.19

67,659.12

1,269.15



2.728

3.384

MON
3,774.88

11,453.07

7/19/2006
4/25/2035
94982BAG5
WFMBS CMO 05-AR8 3A2
 
 
 
 
596,607.14

605,857.12

606,944.16

598,434.53

7,422.59

340.77



2.703

3.074

MON
1,367.27

4,198.48

12/15/2005
6/25/2035
B7A0BY1D7
SWAN_06-1E ABS 06-1E
 
 
F
 
2,589,026.53

2,601,346.05

2,627,885.06

2,595,678.56

5,667.49

6,166.78



0.372

1.611

FMAN
1,303.43

2,752.24

11/30/2012
5/12/2037
BRS9WB7G9
ARKEL_10-1 ABS_10-1 5A
 
 
D
 
918,390.00

1,023,029.57

600,000.00

918,390.00

104,639.57



(7,320.00
)
4.681

4.677

FA
4,952.72

22,014.51

4/30/2010
5/17/2060
G4122UAV3
GMFM_11-1X ABS 11-1X
 
 
F
 
4,861,024.61

4,851,313.27

4,760,464.56

4,843,974.87

7,338.40

(14,755.68
)


1.839

0.128

FMAN
9,727.74

23,785.83

11/30/2012
11/20/2056
G7014VBF9
PERMM 2010-1 ABS_10-1 3A
 
 
D
 
2,003,000.00

2,131,157.68

1,250,000.00

2,003,000.00

128,157.68



(104,937.50
)
4.805

4.791

JJ
18,005.56

46,688.08

1/29/2010
7/15/2042
00205BAA6
ARI FLEET LEASE TRUST ARIFL_12 ABS 12-B
 
 
 
 
6,432,904.60

6,417,143.79

6,432,904.60

6,432,904.60

(15,760.81
)



0.503

0.504

MON
1,528.60

8,595.30

10/16/2012
1/15/2021
00432CAY7
AGSL_03-1 ABS_03-1 A2
 
 
 
 
1,271,080.35

1,282,094.77

1,281,492.47

1,278,054.02

4,040.75

1,426.12



0.544

1.093

MJSD
135.58

2,047.28

3/31/2011
12/27/2016
00432CAZ4
AGSL_03-1 ABS 03-1-2003-1
 
 
 
 
360,500.00

332,400.00

400,000.00

371,594.89

(39,194.89
)
706.36



1.704

2.889

MON
186.74

1,553.42

3/29/2010
12/26/2035
00432CBB6
AGSL_03-1 ABS_03-1-2003-1
 
 
 
 
311,937.50

290,850.00

350,000.00

312,668.27

(21,818.27
)
76.24



1.702

12.847

APR
195.85

1,373.06

3/29/2010
12/26/2035
00432CBP5
AGSL_03-1 ABS_04-1-2004-1
 
 
 
 
435,625.00

416,750.00

500,000.00

450,873.61

(34,123.61
)
980.80



1.704

3.074

MON
94.67

2,616.83

3/29/2010
12/27/2032
02005ACC0
AMOT_10-3 ABS 12-1
 
 
 
 
2,499,806.75

2,527,675.05

2,500,000.00

2,499,840.21

27,834.84

7.60



1.44

1.446

MON
1,600.00

9,000.00

2/15/2012
2/15/2017
02005MAE2
ALLYA _10-3 ABS _10-3 A4
 
 
 
 
799,714.32

806,896.00

800,000.00

799,935.16

6,960.84

21.50



1.55

1.566

MON
551.11

3,099.99

8/12/2010
8/17/2015



02005RAB7
ALLYA_10-5 ABS 10-5 A3
 
 
 
 
1,023,931.79

1,026,625.34

1,025,026.32

1,024,899.31

1,726.03

225.45



1.11

1.167

MON
505.68

4,084.36

12/6/2010
1/15/2015
02005TAD9
ALLYA _11-1 ABS_11-1 A4
 
 
 
 
5,999,457.60

6,107,662.80

6,000,000.00

5,999,667.72

107,995.08

24.14



2.23

2.242

MON
5,946.67

33,450.00

2/4/2011
3/15/2016
02005YAE6
ALLYA_12-1 ABS_12-1 A3
 
 
 
 
1,085,864.06

1,084,823.80

1,080,000.00

1,085,376.57

(552.77
)
(487.49
)


0.93

0.45

MON
446.40

502.20

2/22/2013
2/15/2016
02582JCU2
AMERICAN EXPRESS CREDIT ACCOUN ABS 04-2
 
 
 
 
5,007,812.50

5,006,750.10

5,000,000.00

5,003,072.15

3,677.95

(674.73
)


0.373

0.319

MON
881.17

4,587.69

7/1/2011
12/15/2016
02582JFV7
AMXCA ABS_09-2 A
 
 
 
 
13,104,761.72

12,883,503.37

12,675,000.00

12,867,661.96

15,841.41

(34,518.19
)


1.453

0.358

MON
8,698.00

45,091.77

7/18/2011
3/15/2017
02587UAB6
AMXCA_12-5 ABS 12-5
 
 
 
 
1,149,890.64

1,149,692.21

1,150,000.00

1,149,905.32

(213.11
)
10.50



0.59

0.594

MON
301.56

1,696.26

11/1/2012
5/15/2018
03064RAB3
AMCAR_11-4 ABS_11-4 A2
 
 
 
 
755,374.24

756,032.36

755,420.46

755,407.13

625.23

12.22



0.92

0.926

MON
444.02

2,678.69

9/8/2011
3/9/2015
03064TAB9
AMCAR_11-5 ABS_11-5-A2
 
 
 
 
959,414.16

961,826.26

959,456.38

959,437.71

2,388.55

7.62



1.19

1.195

MON
729.45

3,724.63

10/26/2011
8/8/2015
05522RAB4
BACCT ABS_06 A7 A7
 
 
 
 
4,980,664.06

4,998,053.75

5,000,000.00

4,991,851.56

6,202.19

1,556.29



0.243

0.369

MON
574.22

2,998.80

6/17/2011
12/15/2016
06423RAV8
BOIT ABS_03-A4 A4
 
 
 
 
10,121,222.10

10,113,235.00

10,110,000.00

10,112,993.55

241.45

(6,121.01
)


0.453

0.211

MON
2,163.65

11,253.36

11/30/2012
1/15/2016
10620NAH1
BRHEA_05-3A ABS 05-3 A14
 
 
 
 
1,122,961.85

1,137,817.14

1,139,765.00

1,127,964.18

9,852.96

3,058.69



0.394

0.755

MJSD
87.34

1,429.84

5/26/2011
9/25/2023
12591FAC0
CNH EQUIPMENT TRUST CNH_13-A ABS_13-A A3
 
 
 
 
6,454,998.71

6,460,293.17

6,455,000.00

6,454,995.88

5,297.29

(2.83
)


0.69

0.691

MON
1,979.54

2,969.30

2/13/2013
6/15/2018
12624FAC1
CNH_12-C ABS_12-C A3
 
 
 
 
8,539,300.58

8,543,757.51

8,540,000.00

8,539,424.25

4,333.26

79.27



0.57

0.574

MON
2,163.47

12,169.53

9/19/2012
12/15/2017
126802BS5
CABMT_10-IA ABS_11-2A A2
 
 
 
 
18,603,606.06

18,598,646.85

18,445,000.00

18,599,041.98

(395.13
)
(4,564.08
)


0.803

0.545

MON
6,995.98

13,019.86

3/7/2013
6/17/2019
14041NBN0
CAPITAL ONE MULTI-ASSET EXECUT ABS 04-A4
 
 
 
 
15,030,315.45

15,023,700.75

15,000,000.00

15,023,405.53

295.22

(5,140.36
)


0.423

0.286

MON
2,997.67

15,596.38

11/30/2012
3/15/2017
14041NCK5
CAPITAL ONE MULTI-ASSET EXECUT ABS_05-A9
 
 
 
 
5,826,577.15

5,870,490.82

5,875,000.00

5,846,393.70

24,097.12

2,759.77



0.293

0.484

MON
813.43

4,241.63

6/17/2011
8/15/2018
14041NDB4
CAPITAL ONE MULTI-ASSET EXECUT ABS
 
 
 
 
5,248,035.16

5,285,607.69

5,300,000.00

5,265,816.47

19,791.22

2,476.70



0.293

0.484

MON
733.81

3,826.49

6/17/2011
6/17/2019
161571FH2
CHASE ISSUANCE TRUST ABS_12-A2 A2
 
 
 
 
7,000,000.00

7,017,381.42

7,000,000.00

7,000,000.00

17,381.42




0.473

0.474

MON
1,564.19

8,133.86

5/29/2012
5/15/2019
161571FL3
CHAIT_12-A5 ABS_12-A5 A5
 
 
 
 
4,999,816.00

5,004,681.80

5,000,000.00

4,999,819.58

4,862.22

1.64



0.59

0.591

MON
1,311.11

7,374.99

9/6/2012
8/15/2017
165182BA3
CF_09-2A ABS 12-1A 144A
 
 
 
 
3,200,000.00

3,213,568.13

3,200,000.00

3,200,000.00

13,568.13




0.953

0.955

MON
2,118.22

7,655.05

5/10/2012
11/7/2023
17305ECH6
CCCIT ABS_04-A8 A8
 
 
 
 
2,116,867.19

2,036,275.92

1,900,000.00

2,024,302.75

11,973.17

(18,213.73
)


4.9

0.99

JD
28,705.83


12/14/2011
12/12/2016
17305EDL6
CITIBANK CREDIT CARD ISSUANCE ABS_06-A8
 
 
 
 
2,588,682.81

2,607,323.58

2,620,000.00

2,598,059.68

9,263.90

1,392.73



0.344

0.555

JAJO
1,902.70

2,545.99

7/6/2011
12/17/2018
17305EEH4
CCCIT ABS 08-A5 A5
 
 
 
 
1,608,339.84

1,504,530.03

1,500,000.00

1,508,835.64

(4,305.61
)
(11,168.40
)


4.85

0.711

AO
32,131.25


8/16/2011
4/22/2015
17308BAM0
CITIBANK OMNI MASTER TRUST COM ABS
 
 
 
 
5,790,595.70

5,771,016.94

5,575,000.00

5,771,442.78

(425.84
)
(19,152.92
)


2.953

0.414

MON
7,774.71

14,627.62

2/6/2013
8/15/2018
17308BAN8
COMNI_09-A13 ABS_09-A17 A17 144A
 
 
 
 
950,033.20

930,230.07

870,000.00

926,894.65

3,335.42

(8,701.03
)


4.9

0.832

MN
16,104.67


7/26/2012
11/15/2018
254683AC9
DCENT_07-A1 ABS 07-A1 A1
 
 
 
 
5,448,691.41

5,388,333.89

4,500,000.00

5,259,470.80

128,863.09

(40,923.34
)


5.65

1.719

MON
11,300.00

63,562.50

1/26/2012
3/16/2020
254683AQ8
DCENT ABS_11-2A A
 
 
 
 
1,400,000.00

1,400,336.03

1,400,000.00

1,400,000.00

336.03




0.413

0.414

MON
273.17

1,421.44

5/26/2011
11/16/2015
254683AT2
DCENT ABS 12-A1
 
 
 
 
4,998,866.00

5,023,211.30

5,000,000.00

4,999,250.66

23,960.64

84.02



0.81

0.818

MON
1,800.00

10,125.00

2/1/2012
8/15/2017
254683AV7
DCENT_12-A3 ABS 12-A3
 
 
 
 
434,956.76

437,854.26

435,000.00

434,968.46

2,885.80

3.66



0.86

0.865

MON
166.27

935.25

6/5/2012
11/15/2017
254683BA2
DISCOVER CARD MASTER TRUST DCE ABS_13-A2
 
 
 
 
11,553,284.09

11,561,008.83

11,555,000.00

11,553,371.99

7,636.84

87.90



0.69

0.7

MON
3,543.53

7,087.07

2/6/2013
8/15/2018
281379AA5
EDUSA_10-1 ABS 10-1-A1 144A
 
 
 
 
624,068.54

633,002.71

624,068.54

624,068.54

8,934.17




1.151

1.152

JAJO
1,316.89

1,996.56

2/23/2010
7/25/2023
34529MAD4
FORDO_10-B ABS_10-B A4
 
 
 
 
2,989,785.55

2,992,307.59

2,965,000.00

2,987,740.68

4,566.91

(2,044.87
)


1.58

0.656

MON
2,082.09

1,431.44

2/27/2013
9/15/2015
34529QAC7
FORDL_11-A ABS_11-A A3
 
 
 
 
2,522,785.10

2,526,247.82

2,522,867.10

2,522,831.13

3,416.69

20.14



1.03

1.034

MON
1,154.91

8,939.78

6/29/2011
7/15/2014
34529WAC4
FORDO_12-B ABS_12-B A3
 
 
 
 
2,502,148.44

2,507,147.80

2,500,000.00

2,501,343.83

5,803.97

(241.78
)


0.72

0.678

MON
800.00

4,500.00

6/22/2012
12/15/2016



34530BAB9
FORDO_2013-A ABS_2013-A A2
 
 
 
 
4,864,608.37

4,863,880.91

4,865,000.00

4,864,622.08

(741.17
)
13.71



0.38

0.386

MON
821.65

975.70

2/20/2013
11/15/2015
34530CAC5
FORD CREDIT AUTO LEASE TRUST F ABS_13-A
 
 
 
 
1,154,886.58

1,154,630.42

1,155,000.00

1,154,888.60

(258.18
)
2.02



0.6

0.607

MON
211.75


3/12/2013
3/15/2016
36156HAV0
GCOE_06-1 ABS 06-1
 
 
 
 
1,617,980.19

1,763,311.76

1,802,763.44

1,660,367.18

102,944.58

6,035.65



0.418

2.637

FMAN
732.80

2,051.01

2/22/2012
5/25/2025
36830HAC6
GE EQUIPMENT SMALL TICKET LLC ABS 11-1
 
 
 
 
1,117,991.75

1,122,441.60

1,118,159.02

1,118,104.78

4,336.82

28.07



1.45

1.46

MON
450.37

5,101.42

2/1/2011
1/21/2018
41283KAC1
HDMOT_10-1 ABS 10-1 A3
 
 
 
 
184,847.00

185,021.37

184,873.10

184,867.67

153.70

0.16



1.16

1.169

MON
95.31

974.98

11/17/2010
2/15/2015
429827AB4
HEF_10-401 ABS 04-1 A2 144A
 
 
 
 
164,000.00

184,515.24

200,000.00

175,132.95

9,382.29

(22,809.58
)


0.07

2.488

MON
4.67

114.28

9/10/2009
1/1/2044
429827AE8
HIGHER EDUCATION FUNDING HEF_0 ABS 04-1
 
 
 
 
164,000.00

184,515.24

200,000.00

171,910.39

12,604.85

1,232.06



0.07

1.413

MON
8.94

197.27

9/10/2009
1/1/2044
429827AF5
HEF_10-401 ABS 04-1 A6 144A
 
 
 
 
164,000.00

184,515.24

200,000.00

175,129.69

9,385.55

5,062.51



0.084

1.986

MON
6.07

158.87

9/10/2009
1/1/2044
429827AJ7
HIGHER EDUCATION FUNDING HEF_0 ABS 04-1
 
 
 
 
164,224.00

184,515.24

200,000.00

170,895.87

13,619.37

1,012.05



0.64

1.892

MON
17.52

152.58

9/10/2009
1/1/2044
429827AK4
HIGHER EDUCATION FUNDING HEF_0 ABS_04-1
 
 
 
 
164,196.00

184,515.24

200,000.00

171,622.87

12,892.37

1,523.16



0.07

2.02

MON
11.89

157.41

9/10/2009
1/1/2044
429827AN8
HEF_04-1 ABS 04-1 A13 144A
 
 
 
 
164,000.00

184,515.24

200,000.00

171,449.54

13,065.70

2,654.12



0.042

1.769

MON
2.53

120.28

9/10/2009
1/1/2044
429827AQ1
HEF_04-1 ABS 04-1 A15 144A
 
 
 
 
246,000.00

276,772.86

300,000.00

251,059.13

25,713.73

1,387.36



1.622

2.402

MON
11.50

297.52

9/10/2009
1/1/2044
43813BAC6
HAROT_2010-3 ABS_10-3 A3
 
 
 
 
146,977.65

146,801.47

146,736.91

146,757.12

44.35

(103.12
)


0.7

0.559

MON
28.53

539.37

8/18/2011
4/21/2014
43813TAD5
HAROT_11-1 ABS_11-1 A4
 
 
 
 
2,199,414.14

2,225,828.24

2,200,000.00

2,199,830.20

25,998.04

50.44



1.8

1.816

MON
1,760.00

9,900.00

2/17/2011
4/17/2017
44890FAC1
HYUNDAI AUTO LEASE SECURITIZAT ABS_12-A
 
 
 
 
3,499,626.55

3,511,130.04

3,500,000.00

3,499,753.15

11,376.89

40.67



0.92

0.926

MON
1,431.11

8,049.99

6/13/2012
8/17/2015
44890GAD7
HART_12-A ABS 12-A
 
 
 
 
4,259,591.04

4,290,842.36

4,260,000.00

4,259,712.39

31,129.97

28.40



0.95

0.955

MON
1,798.67

10,117.50

2/28/2012
12/15/2016
44890HAC7
HYUNDAI AUTO RECEIVABLES TRUST ABS 12-B
 
 
 
 
4,999,148.00

5,012,894.45

5,000,000.00

4,999,413.52

13,480.93

142.72



0.62

0.629

MON
1,377.78

12,830.54

7/10/2012
9/15/2016
44923WAD3
HART ABS 10-A 4
 
 
 
 
1,399,976.62

1,427,705.94

1,400,000.00

1,399,955.10

27,750.84

(3.99
)


2.45

2.462

MON
1,524.44

35,678.12

5/5/2010
12/15/2016
44923YAC1
HART_10-B ABS 10-B A3
 
 
 
 
1,310,870.13

1,314,198.17

1,311,103.96

1,311,067.71

3,130.46

31.39



0.97

0.979

MON
565.23

4,018.35

8/19/2010
4/15/2015
44923YAD9
HART_10-B ABS_10-B A4
 
 
 
 
7,549,294.08

7,673,669.00

7,550,000.00

7,549,756.39

123,912.61

44.82



1.63

1.638

MON
5,469.56

30,766.26

8/19/2010
3/15/2017
479403AB3
JOHNSTON RE LTD CORP BND 144A
 
 
E
 
1,500,000.00

1,506,930.00

1,500,000.00

1,500,000.00

6,930.00




6.5

6.551

MJSD
6,500.00

23,839.44

4/30/2010
5/8/2013
587682AC9
MBART_10-A ABS 10-A-A3
 
 
 
 
95,714.29

95,928.01

95,732.71

95,731.07

196.94

3.16



1.42

1.433

MON
60.42

523.07

4/13/2010
8/15/2014
62888XAC8
NCUA_10-C1 CMBS_10-C1 A-PT
 
 
 
 
4,484,039.30

4,733,004.66

4,492,946.53

4,487,251.56

245,753.10

142.96



2.65

2.729

MON
1,322.93

29,981.95

9/7/2011
10/29/2020
71722TAF1
PHEAA_04-1 ABS_04-1-A2
 
 
 
 
452,730.00

460,000.00

500,000.00

465,146.41

(5,146.41
)
1,028.76



1.745

2.741

MON
29.92

1,948.04

3/9/2010
4/25/2044
71722TAG9
PHEAA_04-1 ABS_04-1-A3
 
 
 
 
1,177,098.00

1,183,000.00

1,300,000.00

1,203,855.34

(20,855.34
)
3,005.06



1.704

2.609

MON
667.59

4,985.67

3/9/2010
4/25/2044
784423AD7
SLCLT_04-1 ABS 04-1 A4
 
 
 
 
65,873.48

65,872.75

65,868.14

65,870.09

2.66

(10.56
)


0.4

0.376

FMAN
32.94

223.37

11/30/2012
8/15/2019
78442GHX7
SLMA ABS 03-10A A1B 144A
 
 
 
 
249,968.75

250,000.00

250,000.00

249,993.44

6.56

0.81



1.693

1.701

MON
58.78

1,146.03

11/7/2011
12/15/2016
78442GHY5
SLMA ABS 03-10A-A1C
 
 
 
 
799,975.69

800,000.00

800,000.00

799,986.61

13.39

19.17



1.693

1.694

****
677.20

4,106.75

11/7/2011
12/15/2016
78442GHZ2
SLMA ABS 03-10A A1D 144A
 
 
 
 
1,297,046.87

1,300,000.00

1,300,000.00

1,299,437.11

562.89

175.76



1.693

1.756

MON
1,528.40

4,467.92

11/7/2011
12/15/2016
78442GJA5
SLM STUDENT LOAN TR 2003-10A 03-10A A1E
 
 
 
 
799,906.25

800,000.00

800,000.00

799,981.07

18.93

3.41



1.693

1.702

MON
677.21

2,710.04

11/7/2011
12/15/2016
78442GJB3
SLMA ABS 03-10A A1F 144A
 
 
 
 
625,000.00

625,000.00

625,000.00

625,000.00





1.699

1.702

MON
324.46

2,470.90

11/7/2011
12/15/2016
78442GJC1
SLMA ABS_03-10A AIG 144A
 
 
 
 
400,000.00

400,000.00

400,000.00

400,000.00





1.693

1.696

MON
75.25

2,585.73

11/7/2011
12/15/2016
78442GJD9
SLM STUDENT LOAN TR 2003-10A ABS_03-10A
 
 
 
 
250,000.00

250,000.00

250,000.00

250,000.00





1.6

1.604

MON
277.78

901.23

11/7/2011
12/15/2016
78442GMK9
SLMA ABS_04-7 A5
 
 
 
 
2,361,997.40

2,373,114.91

2,376,105.52

2,366,379.18

6,735.73

1,262.80



0.471

0.657

JAJO
2,051.77

3,155.20

5/13/2011
1/27/2020



78442GQP4
SLMA ABS_05-8 A3
 
 
 
 
3,741,725.00

3,793,626.30

3,810,000.00

3,772,237.06

21,389.24

4,207.18



0.411

0.863

JAJO
2,870.85

4,140.53

6/13/2011
10/25/2024
78442GSC1
SLM STUDENT LOAN TRUST SLMA_06
 
 
 
 
229,892.99

229,744.81

230,256.12

229,935.08

(190.27
)
49.63



0.381

0.469

JAJO
160.83

249.27

11/30/2012
7/25/2019
784442AC9
SLMA ABS 08_2 A3
 
 
 
 
1,484,824.22

1,504,199.99

1,500,000.00

1,486,984.32

17,215.67

532.77



1.051

1.206

JAJO
2,890.25

4,083.46

3/27/2012
4/25/2023
78444YAB1
SLM STUDENT LOAN TRUST SLMA_08 ABS 08-5
 
 
 
 
1,531,553.18

1,513,966.65

1,508,160.20

1,512,900.96

1,065.69

(3,291.11
)


1.401

0.418

JAJO
3,873.71

6,662.94

11/30/2012
10/25/2016
78444YAC9
SLMA ABS 08-5 A3
 
 
 
 
13,936,144.69

13,896,874.71

13,691,000.00

13,809,965.47

86,909.24

(20,808.93
)


1.601

0.964

JAJO
40,185.37

56,514.55

11/29/2011
1/25/2018
78444YAD7
SLMA ABS 08-5 A4
 
 
 
 
2,457,718.75

2,459,600.10

2,350,000.00

2,430,056.62

29,543.48

(3,008.74
)


2.001

1.442

JAJO
8,620.98

12,102.70

1/11/2011
7/25/2023
78445XAA4
SLMA_10-1 ABS 10-1A
 
 
 
 
4,074,668.03

4,079,277.74

4,065,410.83

4,074,624.46

4,653.28

(353.76
)


0.604

0.557

MON
477.61

4,307.38

2/15/2013
3/25/2025
78446JAA4
SLM STUDENT LOAN TRUST SLMA_11 ABS 11-2
 
 
 
 
9,161,935.78

9,241,492.51

9,179,730.73

9,164,745.16

76,747.35

823.90



0.804

0.838

MON
1,435.45

18,658.38

5/18/2011
11/25/2027
78446XAA3
SLM STUDENT LOAN TRUST ABS 12-B 144A
 
 
 
 
718,675.98

724,446.96

718,675.98

718,675.98

5,770.98




1.303

1.307

MON
442.27

2,431.80

4/4/2012
1/18/2022
78446XAB1
SLM STUDENT LOAN TRUST ABS_12-B A2 144A
 
 
 
 
999,897.30

1,070,743.00

1,000,000.00

999,908.56

70,834.44

2.73



3.48

3.507

MON
1,546.67

8,700.00

4/4/2012
10/15/2030
78447AAA2
SLMA_12-3 ABS_12-3 A
 
 
 
 
1,766,356.68

1,783,337.26

1,766,356.68

1,766,356.68

16,980.58




0.854

0.856

MON
293.38

3,817.36

4/24/2012
12/26/2025
78447CAA8
SLM_12-D ABS 12-D 144A
 
 
 
 
772,116.50

779,227.68

772,116.50

772,116.50

7,111.18




1.253

1.254

MON
456.93

2,496.24

7/23/2012
6/15/2023
78447FAA1
SLMA_12-E ABS 12-E 144A
 
 
 
 
2,488,907.19

2,500,729.45

2,488,907.19

2,488,907.19

11,822.26




0.953

0.955

MON
1,120.32

6,058.84

10/11/2012
10/16/2023
78447FAB9
SLM STUDENT LOAN TRUST SLMA_12 ABS_12-E
 
 
 
 
816,500.00

815,911.98

800,000.00

816,479.57

(567.59
)
(20.43
)


2.09

1.956

MON
743.11

(325.11
)
3/19/2013
6/15/2045
78447KAB8
SLMA_12-7 ABS 12-7
 
 
 
 
4,497,041.25

4,505,535.05

4,500,000.00

4,497,231.86

8,303.19

101.36



0.484

0.503

MON
423.68

5,396.67

11/2/2012
9/25/2019
78447RAB3
SLMA_13-A ABS 13-A 144A
 
 
 
 
459,870.23

459,884.99

460,000.00

459,872.87

12.12

2.64



1.77

1.786

MON
542.80


2/27/2013
5/17/2027
80283DAC5
SDART_13-2 ABS_13-2 A3
 
 
 
 
1,204,793.10

1,204,397.46

1,205,000.00

1,204,797.18

(399.72
)
4.08



0.7

0.708

MON
421.75


3/6/2013
9/15/2017
80705TAA4
SCHOL_11-A ABS 11-A A 144A
 
 
 
 
2,193,915.34

2,245,785.26

2,238,086.20

2,196,974.68

48,810.58

1,651.90



1.201

1.357

JAJO
4,701.94

7,075.27

3/22/2011
10/28/2043
89235UAD5
TOYOTA AUTO RECEIVABLES OWNER TAOT
 
 
 
 
3,599,430.48

3,614,760.14

3,600,000.00

3,599,903.81

14,856.33

47.89



1.09

1.098

MON
1,744.00

9,810.00

9/22/2010
12/15/2014
89235YAC9
TAOT_10-B ABS_10-B A3
 
 
 
 
114,995.84

115,043.96

115,005.78

115,005.58

38.38

4.16



1.04

1.047

MON
53.16

1,138.80

7/14/2010
2/18/2014
92867DAD2
VALET_11-1 ABS_11-1 A4
 
 
 
 
2,062,187.50

2,042,640.08

2,000,000.00

2,029,747.37

12,892.71

(5,329.23
)


1.98

0.913

MON
1,210.00

9,900.00

9/15/2011
9/20/2017
92867KAC8
VWALT_12-A ABS_12-A A3
 
 
 
 
2,899,427.83

2,912,585.94

2,900,000.00

2,899,655.89

12,930.05

73.58



0.87

0.882

MON
770.92

6,307.50

6/13/2012
7/20/2015
92867MAB6
VALET_13-1 ABS_13-1 A2
 
 
 
 
6,799,555.28

6,795,172.07

6,800,000.00

6,799,568.84

(4,396.77
)
13.56



0.37

0.374

MON
768.78

1,607.44

2/21/2013
1/20/2016
92867MAC4
VALET_13-1 ABS 13-1
 
 
 
 
5,689,676.24

5,686,415.07

5,690,000.00

5,689,681.51

(3,266.44
)
5.27



0.56

0.563

MON
973.62

2,035.76

2/21/2013
8/21/2017
981464BD1
WORLD FINANCIAL NETWORK CREDIT ABS_06-A
 
 
 
 
12,301,269.53

12,499,625.00

12,500,000.00

12,496,405.44

3,219.56

23,070.76



0.333

1.075

MON
1,966.81

10,246.98

2/16/2011
2/15/2017
981464DG2
WFNMT_12-C ABS 12-C
 
 
 
 
3,188,784.29

3,284,861.03

3,190,000.00

3,188,910.40

95,950.63

45.47



2.23

2.247

MON
3,161.65

17,784.24

7/13/2012
8/15/2022
98158KAD1
WORLD OMNI AUTO RECEIVABLES TR ABS 11-A
 
 
 
 
4,599,795.30

4,679,580.14

4,600,000.00

4,599,833.36

79,746.78

4.23



1.91

1.918

MON
3,904.89

21,965.01

3/2/2011
4/15/2016
98158PAC2
WOART_11-B ABS_11-B A3
 
 
 
 
2,499,995.26

2,510,750.00

2,500,000.00

2,499,975.72

10,774.28

(5.77
)


0.96

0.961

MON
1,066.66

11,506.67

11/2/2011
8/15/2016
125094A$8
CDP FINANCIAL INC CORP BND 144A
 
 
A
 
12,675,681.00

12,583,878.15

12,100,000.00

12,581,459.33

2,418.82

(72,183.81
)


3

0.572

MN
127,050.00


12/4/2012
11/25/2014
380881BX9
GCCT_13-1 ABS_13-1A A 144A
 
 
A
 
1,100,000.00

1,100,000.00

1,100,000.00

1,100,000.00





0.452

0.452

MON
441.66


2/21/2013
2/15/2018
04013JAA3
ARES_11-16A ABS 2011-16A A 144A
 
 
F
 
10,012,600.00

10,063,000.00

10,000,000.00

10,011,311.19

51,688.81

(970.13
)


1.89

1.854

FMAN
21,526.14

48,836.67

11/30/2012
5/17/2021
70659PAB7
PENAR_11-1-A1 ABS_11-1 A1 144A
 
 
F
 
3,200,000.00

3,200,672.00

3,200,000.00

3,200,000.00

672.00




0.853

0.855

MON
1,061.76

6,845.99

6/2/2011
5/18/2015
BRSFARX00
LCM-10X ABS LCM-10X-A
 
 
F
 
5,011,570.00

5,012,500.00

5,000,000.00

5,010,681.02

1,818.98

(670.34
)


1.784

1.729

JAJO
18,831.11

23,258.75

11/30/2012
4/15/2022
G8162ZAD4
SILVERSTONE MASTER ISSUER PLC ABS_09-1
 
 
D
 
833,161.50

875,723.72

510,000.00

833,161.50

42,562.22



(58,752.00
)
5.063

5.059

AO
16,486.29


10/27/2009
1/21/2055



Z918CTYG7
BUMP_12-5 ABS_12-5 A2
 
 
D
 
1,162,491.74

1,111,320.70

725,899.49

1,162,491.74

(51,171.04
)


(60,249.66
)
1.894

1.901

MON
688.61

5,835.59

4/2/2012
6/20/2022
TOTAL
 
 
 
 
 
 
5,676,551,920.57

5,525,533,188.81

5,616,693,409.76

59,858,510.81

 
 
 
 
 
 
 
 
 
 




Validus Holdings, Ltd. March 31, 2013 GAAP other investments portfolio in Schedule D format
 
 
 
 
 
 
 
 
 
 
 
 
 
 
1
2
3
4
5
6
7
8
9
10
11
12
13
14
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
FOREIGN
DATE
 ACTUAL
 GAAP FAIR
 GAAP
 
 
 
 CAP
 FX
INVESTMENT
ADDITIONAL
DESCRIPTION
*
CODE
ACQUIRED
 COST
 MARKET VALUE
 BOOK VALUE
 UGL
 AMORTIZATION
 IMPAIRMENTS
 INTEREST
 UGL
INCOME
INCOME
AIG SELECT HEDGE LTD CI-1-B
 
 
9/4/2009
3,271,128.52

3,543,820.19

3,271,128.52

272,691.67







AIG SELECT HEDGE LTD SHARE
 
 
9/4/2009
17.30

17.36

17.30

0.06







BUFFETS RESTAURANTS HOLDINGS I
 
 
7/18/2012
920,570.56

455,728.00

920,570.56

(464,842.56
)






CAIRN SPECIAL OPPORTUNITIES CR OPEN END
 
 
11/30/2012
6,539,611.89

6,798,605.07

6,539,611.89

258,993.18







GOLDENTREE DISTRESSED DEBT FUN OPEN END
 
 
11/30/2012
14,896,731.00

15,678,740.83

14,896,731.00

782,009.83







LEAPFROG INVESTMENTS FINANCIAL OPEN END
 
 
11/30/2012
2,885,345.36

2,632,226.00

2,885,345.36

(253,119.36
)






MARATHON ASSET MANAGEMENT LEGA OPEN END
 
 
11/30/2012
7,438,525.17

8,639,537.16

7,438,525.17

1,201,011.99







PORT ADVISORS PRIVATE EQUITY I OPEN END
 
 
11/30/2012
6,317,062.61

6,498,227.00

6,317,062.61

181,164.39







SVG DIAMOND HOLDINGS II LTD OPEN END FU
 
 
11/30/2012
3,765,757.24

3,794,515.50

3,765,757.24

28,758.26







PAULSON PARTNERS ENHANCED LP
 
 
4/1/2012
125,000,000.00

149,488,583.14

125,000,000.00

24,488,583.14







PAULSON PARTNERS ADVANTAGE PLUS LP
 
 
4/1/2012
125,000,000.00

109,325,330.42

125,000,000.00

(15,674,669.58
)






PAULSON PARTNERS GOLD FUND LP
 
 
4/1/2012
125,000,000.00

73,614,558.72

125,000,000.00

(51,385,441.28
)






PAULSON PARTNERS CREDIT OPPORTUNITIES LP
 
 
6/1/2012
125,000,000.00

143,223,417.68

125,000,000.00

18,223,417.68







GUARDIAN GROWTH EQUITY
 
 
9/4/2009
6,181,301.52

9,064,533.43

6,181,301.52

2,883,231.91







MFS MERIDIAN MID CAP GROWTH FUND
 
 
9/4/2009
17,203.14

28,620.03

17,203.14

11,416.89







Total
 
 
 
552,233,254.31

532,786,460.53

552,233,254.31

(19,446,793.78
)