EX-99.1 2 a20131231scheduled.htm EXHIBIT 99.1 2013.12.31 Schedule D


Validus Holdings, Ltd. December 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

88579YAD3

3M CO CORP BND
 
 
 
 
5,032,167.00

5,151,868.03

5,075,000.00

5,051,119.54

100,748.49

2,168.22



5.25

3.007

MS

0.82


11/27/2012

3/1/2015

00287YAJ8

ABBVIE INC SENIOR CORP BND
 
 
 
 
3,992,851.97

4,007,729.21

4,000,000

3,993,533.49

14,195.72

425.6



0.418

1.17

FMAN

3.4

35,000

8/8/2012

11/22/2024

00084DAH3

ABN AMRO BANK NV SENIOR CORP BND 144A
 
F

 
 
5,000,000.00

5,007,500.1

5,000,000.00

5,000,000

7,500.10




0.78

0.782

MON

0.99


4/11/2012

6/15/2016

00432CCM1

ACCESS GROUP INC ACCSS_05-2 ABS 05-2
 
 
 
 
1,907,213.9

1,924,992.35

1,958,627.87

1,918,125.13

6,867.22

4,246.33



1.03

1.041

MON

1.46

2,339.09

4/11/2012

12/15/2016

00448MAA9

ACHMEA HYPOTHEEKBANK N.V. - LT CORP BND
 
F

 
 
176,911.50

181,017.74

177,000.00

176,984.2

4,033.54

4.7



0.86

0.862

MON

0.48

2,832

6/12/2012

9/15/2017

BRSFUKYH5

ACOSTA INC SENIOR SECURED TERM LOAN
 
 
 
 
5,962,448.38

6,018,019.39

5,986,589.8

5,968,054.3

49,965.09

1,115.26



0.63

0.636

MON

(2
)
64,691.5

1/23/2013

11/15/2018

BRSKNF270

ACTIVISION BLIZZARD INC SENIOR SECURED
 
 
 
 
2,039,613.19

2,061,628.71

2,049,862.50

2,040,040.16

21,588.55

452.66



0.6

0.602

MON

(0.12
)
13,914.06

2/6/2013

10/16/2017

BRSHB29T4

ADS WASTE ESCROW SENIOR SECURED TERM
 
 
 
 
8,905,025.12

8,944,563.43

8,905,025.12

8,905,025.12

39,538.31




0.447

0.447

MON

(3.85
)
97,142.07

4/12/2013

4/15/2020

00101JAE6

ADT CORP SENIOR CORP BND
 
 
 
 
5,399,557.21

5,313,923.89

5,400,000.00

5,399,694.84

(85,770.95
)
20.55



0.467

0.467

MON

5.45


2/6/2013

8/17/2020

BRSHFZFW3

ADVANTAGE SALES & MARKETING IN SENIOR
 
 
 
 
4,106,497.95

4,167,089.14

4,155,661.07

4,113,938.03

53,151.11

2,667.32



1.06

1.07

MON

(2.18
)
30,832.94

8/7/2013

3/20/2019

BRSJDYBA6

AEROFLEX INCORPORATED SENIOR SECURED
 
 
 
 
3,938,220.53

3,984,451.53

3,954,790.60

3,939,725.77

44,725.76

644.42



1.15

1.16

MON

(1.81
)
45,480.09

1/18/2012

6/15/2017

BRSHXEJA4

AFFINIA GROUP SENIOR SECURED TERM LOAN
 
 
 
 
992,643.44

1,007,437.51

995,000

992,819.63

14,617.88

98.14



0.57

0.467

MON

(4.51
)
11,924.28

2/1/2013

9/15/2015

00432CAZ4

AGSL_03-1 ABS 03-1-2003-1
 
 
 
 
360,500.00

362,501.6

400,000.00

369,083.91

(6,582.31
)
522.46



0.55

0.55

MON

2.65

2,012.9

7/23/2013

4/15/2016

00432CAY7

AGSL_03-1 ABS_03-1 A2
 
 
 
 
53,303.73

53,740.37

53,740.37

53,681.07

59.3

514.42



0.82

0.828

MON

0.51

573.54

7/23/2013

12/15/2017

00432CBB6

AGSL_03-1 ABS_03-1-2003-1
 
 
 
 
311,937.50

308,985.6

350,000.00

318,839.45

(9,853.85
)
354.74



1.04

1.051

MON

2.91

1,332.1

5/22/2012

9/21/2015

00432CBP5

AGSL_03-1 ABS_04-1-2004-1
 
 
 
 
435,625

427,489

500,000

447,261.28

(19,772.28
)
(705.82
)


0.78

0.785

MON

8,888

1,890.56

2/5/2013

6/15/2016

BRSHLJUD7

AI CHEM & CY SCA SENIOR SECURED TERM
 
F

 
 
710,488.76

719,864.36

714,059.06

710,887.59

8,976.77

146.8



0.54

0.541

MON

(3.21
)
8,232.31

7/17/2013

1/15/2016

L0001UAC3

AI CHEM & CY US ACQUICO INC SENIOR
 
E

 
 
368,638.48

373,503.03

370,490.94

368,845.41

4,657.62

76.16



0.48

0.531

MON

(3.08
)
4,271.35

2/27/2013

11/21/2016

009158AQ9

AIR PRODUCTS AND CHEMICALS INC CORP BND
 
 
 
 
1,544,936.30

1,521,573.49

1,490,000.00

1,532,087.65

(10,514.16
)
(4,015.01
)


0.53

0.536

MON

1.17


10/10/2012

4/17/2017

009349AF8

AIRCRAFT LEASE SECURITISATION ABS_07-1A
 
F

 
 
1,105,959.53

1,100,229.17

1,146,072.05

1,109,476.76

(9,247.59
)
5,856.83



0.51

0.513

MON

1.62

317.62

2/27/2013

9/15/2015

BRSL3G8T4

AKORN INC SENIOR SECURED TERM NOTES
 
 
 
 
1,765,000.00

1,780,443.75

1,765,000.00

1,765,000

15,443.75




0.99

0.998

MON

(0.13
)

2/22/2012

6/15/2018

010392ER5

ALABAMA POWER COMPANY CORP BND
 
 
 
 
562,380

543,209.57

500,000

544,286.69

(1,077.12
)
(5,378.89
)


0.88

0.883

MON

0.91


3/15/2012

11/17/2014

010392FH6

ALABAMA POWER COMPANY SENIOR CORP BND
 
 
 
 
8,314,843.50

8,272,539.43

8,325,000.00

8,318,927.74

(46,388.31
)
854.1



0.78

0.783

MON

3.62

22,893.75

7/23/2013

8/15/2017

BRSCE52V7

ALERE INC
 
 
 
 
4,424,040.1

4,477,604.86

4,452,537.08

4,434,440.61

43,164.25

1,337.28



0.467

0.467

MON

(0.16
)
52,087.87

2/20/2013

2/15/2018

BRSEF3569

ALERE INC SENIOR SEC TERM NOTES
 
 
 
 
833,753.25

846,916.45

842,175.00

836,509.81

10,406.64

406.99



0.44

0.447

MON

(0.16
)
6,064.83

10/10/2012

2/23/2015

BRSDPAC33

ALERE INC SENIOR SEC TERM NOTES
 
 
 
 
973,881.58

990,507.72

984,962.38

977,180.53

13,327.19

558.7



0.73

0.736

MON

(0.16
)
10,175.23

2/15/2012

5/16/2016

018490AP7

ALLERGAN INC/UNITED STATES SENIOR CORP
 
 
 
 
1,696,481.00

1,646,400.17

1,700,000.00

1,697,032.25

(50,632.08
)
174.23



0.54

0.55

MON

2.14


10/10/2012

12/21/2015

BRSJLWST2

ALLFLEX HOLDINGS SENIOR SECURED TERM
 
F

 
 
1,389,870.04

1,401,038.63

1,396,500

1,389,944.74

11,093.89

106.85



0.401

0.701

FMAN

(0.22
)

5/20/2013

5/15/2023






BRSHFDW29

ALLIANCE LAUNDRY SYST LLC SENIOR SECURED
 
 
 
 
715,953.13

721,086.78

718,987.34

716,022.02

5,064.76

120.17



1.567

1.57

MON

(0.06
)
1,904.32

2/2/2012

8/15/2025

BRSKDJZL6

ALLISON TRANSMISSION INC SENIOR SECURED
 
 
 
 
3,984,710.03

4,025,224.62

4,006,434.44

3,985,644.89

39,579.73

1,024.09



0.767

0.829

MON

(0.08
)
21,066.22

11/21/2013

8/15/2022

02005MAE2

ALLYA _10-3 ABS _10-3 A4
 
 
 
 
384,698.15

385,863.08

384,835.58

384,825.16

1,037.92

13.34



1.02

1.025

MON

0.90

1,997.95

8/15/2013

1/16/2018

02005TAD9

ALLYA _11-1 ABS_11-1 A4
 
 
 
 
4,498,779.53

4,534,639.84

4,499,186.25

4,498,941.11

35,698.73

55.8



0.567

0.72

MON

1.52

30,044.94

9/19/2012

10/28/2025

02005YAE6

ALLYA_12-1 ABS_12-1 A3
 
 
 
 
721,440.56

718,864.8

717,544.52

719,252.91

(388.11
)
(1,199.03
)


0.817

0.874

MON

0.76

2,015.95

3/12/2013

1/30/2045

02005EAC4

ALLYA_12-3 ABS 12-3
 
 
 
 
2,999,894.7

3,005,760

3,000,000

2,999,937.11

5,822.89

6.76



0.46

0.464

MON

0.7

6,375

9/18/2012

7/15/2016

02006MAC5

ALLYA_13-2 ABS 13-2 A3
 
 
 
 
984,961.19

985,551.6

985,000.00

984,962.48

589.12

1.29



0.99

0.995

MON

1.52

972.69

4/11/2012

8/15/2017

BRSJ9AL38

ALPHA NATURAL RESOURCES INC SENIOR
 
 
 
 
2,449,093

2,417,094.8

2,461,400

2,450,159.89

(33,065.09
)
471.62



0.7

0.714

MON

0.28

22,071.31

11/6/2013

4/20/2018

021441AD2

ALTERA CORPORATION SENIOR CORP BND
 
 
 
 
2,920,524.75

2,882,634.69

2,925,000.00

2,921,954.95

(39,320.26
)
220.59



1.239

0.957

MON

4.40

25,593.75

12/28/2012

2/25/2020

02209SAK9

ALTRIA GROUP INC CORP BND
 
 
 
 
2,463,555.6

2,403,780.8

2,278,000

2,402,827.34

953.46

(18,623.71
)


1.889

1.309

MON

1.67


8/15/2012

2/20/2019

023135AK2

AMAZON.COM INC SENIOR CORP BND
 
 
 
 
3,041,704.00

3,052,545.93

3,050,000.00

3,044,705.92

7,840.01

1,058.35



1.286

1.289

MON

0.61

18,477.15

9/12/2012

2/25/2020

BRSJ1HUF4

AMC ENTERTAINMENT INC. SENIOR SECURED
 
 
 
 
3,811,572.18

3,825,366.45

3,821,125

3,812,456.32

12,910.13

367.39



1.089

1.091

MON

(0.02
)
34,263.93

11/13/2012

11/20/2019

03065EAD7

AMCAR_13-5 BAS_13-5 A3
 
 
 
 
439,939.85

439,643.6

440,000

439,941.95

(298.35
)
2.1



0.5

0.562

MN

0.94

275

2/14/2013

5/16/2016

02364WBF1

AMERICA MOVIL SA DE CV SENIOR CORP BND
 
F

 
 
5,000,000

5,006,639.3

5,000,000

5,000,000

6,639.3




0.625

0.681

MN

1.19

16,047.61

11/5/2013

11/15/2016

BRSHU5PD3

AMERICAN BUILDERS & CONTRACTOR SENIOR
 
 
 
 
2,574,787.5

2,581,399.68

2,578,537.5

2,574,982.16

6,417.52

142.14



4.95

3.07

MN

(0.38
)
26,639.85

11/27/2012

11/15/2015

0258M0DG1

AMERICAN EXPRESS CREDIT CORPOR SENIOR
 
 
 
 
4,998,850

5,016,996.75

5,000,000

4,999,009.87

17,986.88

94.28



5.45

0.914

MS

1.17


9/13/2012

9/15/2017

02665WAB7

AMERICAN HONDA FINANCE CORPORA SENIOR
 
 
 
 
2,989,560

3,004,830.78

3,000,000

2,990,342.97

14,487.81

782.97



3.05

0.497

AO

1.07


6/26/2012

10/15/2014

02666QM59

AMERICAN HONDA FINANCE CORPORA SENIOR
 
 
 
 
5,000,000

5,011,500.15

5,000,000

5,000,000

11,500.15




4.25

0.187

MN

0.52

8,052.24

9/16/2013

11/15/2014

02666QL43

AMERICAN HONDA FINANCE CORPORA UNSECURED
 
 
 
 
5,812,825.75

5,858,939.77

5,825,000

5,818,221.94

40,717.83

1,041.14



2.25

0.186

JJ

0.64


9/24/2013

1/31/2015

03064JAC9

AMERICREDIT AUTOMOBILE RECEIVA ABS 13-2
 
 
 
 
644,871.19

643,510.03

645,000

644,907.93

(1,397.9
)
13.97



2.125

0.314

MN

0.77

1,048.14

12/11/2012

5/31/2015

BRSH4GA51

AMERIFORGE GROUP INC SENIOR SECURED TERM
 
 
 
 
961,967.92

971,229.89

966,801.94

962,473.62

8,756.27

147.96



1.25

0.529

MS

(6
)
9,789.43

8/28/2013

9/30/2015

BRSEGDRJ4

AMN HEALTHCARE SENIOR SECURED TERM NOTE
 
 
 
 
2,044,108.44

2,072,498.84

2,064,756

2,049,939.11

22,559.73

873.29



2

0.459

AO

(1.36
)
40,004.65

2/1/2013

4/30/2016

02005ACC0

AMOT 2013-2 ABS 12-1
 
 
 
 
2,499,806.75

2,518,574.9

2,500,000

2,499,863.61

18,711.29

7.74



1

0.204

MN

0.97

9,000

2/14/2013

5/15/2014

BRSJQMFE6

AMR CORPORATION SENIOR SECURED TERM LOAN
 
 
 
 
10,854,402.53

10,956,442.68

10,908,662.74

10,856,804.34

99,638.34

3,698.46



0.75

0.212

JD

(0.08
)
181,322.04

2/5/2013

6/15/2014

02587UAB6

AMXCA_12-5 ABS 12-5
 
 
 
 
1,149,890.64

1,149,034

1,150,000

1,149,933.12

(899.12
)
9.27



1.5

0.995

JJ

0.63

1,696.26

8/16/2011

7/31/2016

02582JGJ3

AMXCA_13-3 ABS_13-3 A
 
 
 
 
5,459,374.29

5,444,657.51

5,460,000

5,459,393.02

(14,735.51
)
18.73



1.5

1.613

FA

3.26

4,756.27

9/17/2013

8/31/2018

034863AA8

ANGLO AMERICAN CAPITAL PLC CORP BND 144A
 
F

 
 
5,570,775

4,598,948.03

4,500,000

4,585,140.34

13,807.69

(80,651.69
)


1

0.725

FA

2.33

210,937.51

11/22/2013

8/31/2016

034863AE0

ANGLO AMERICAN CAPITAL PLC SENIOR CORP
 
F

 
 
4,989,050

5,029,041.65

5,000,000

4,992,719.61

36,322.04

541.59



1.375

1.29

MS

2.44

65,625

11/26/2013

9/30/2018

035229CY7

ANHEUSER-BUSCH COMPANIES LLC SENIOR CORP
 
 
 
 
5,556,350

5,229,320

5,000,000

5,139,386.49

89,933.51

(33,026.51
)


1

0.692

AO

1.13


11/26/2013

10/31/2016

03523TAM0

ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND
 
 
 
 
3,816,888.3

3,762,861.63

3,630,000

3,762,763.06

98.57

(31,954.08
)


0.375

0.227

MN

1.17


7/9/2013

11/15/2014

03523TAT5

ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND
 
 
 
 
6,070,199

5,871,615.6

5,650,000

5,868,649.11

2,966.49

(42,777.28
)


0.875

0.761

MN

1.13

102,406.25

10/1/2013

11/30/2016

03523TBN7

ANHEUSER-BUSCH INBEV WORLDWIDE SENIOR
 
 
 
 
15,348,076

15,265,651.18

15,325,000

15,344,563.59

(78,912.41
)
(1,357.78
)


0.875

0.677

JD

5.95


11/27/2013

12/31/2016

00182EAR0

ANZ NATIONAL INTERNATIONAL LTD SENIOR
 
F

 
 
9,996,500

10,013,010.4

10,000,000

9,997,382.36

15,628.04

295



0.25

0.278

JJ

1.07


7/9/2013

1/15/2015

BRSFSRG42

AOT BEDDING SUPER HOLDINGS LLC SENIOR
 
 
 
 
2,319,145.25

2,333,658.05

2,322,047.81

2,319,622.15

14,035.9

167.55



0.875

0.775

JJ

(0.09
)
40,650.59

11/22/2013

1/31/2017






BRSH62SH5

APEX TOOL GROUP LLC SENIOR SECURED TERM
 
 
 
 
1,732,543.75

1,747,344.38

1,741,250

1,733,577.49

13,766.89

317.09



1.25

1.575

JJ

(3.67
)
20,691.01

12/17/2013

1/31/2019

037833AJ9

APPLE INC CORP BND
 
 
 
 
19,846,495.2

19,202,740.57

19,920,000

19,856,020.63

(653,280.06
)
3,637.85



0.25

0.39

FA

11.21

99,600

5/21/2012

2/15/2015

037833AG5

APPLE INC SENIOR CORP BND
 
 
 
 
15,260,000

15,234,210.75

15,260,000

15,260,000

(25,789.25
)



0.875

0.839

FA

2.65

20,107.26

9/27/2013

2/28/2017

BRSB90DJ1

APPLIED SYSTEMS INC SENIOR SECURED TERM
 
 
 
 
482,700.31

487,040.35

486,636.44

483,432.58

3,607.77

273.97



0.375

0.303

MS

(0.03
)
5,285.42

11/26/2012

3/15/2015

BRSKP9PN2

APTALIS PHARMA INC / APTALIS P SENIOR
 
 
 
 
4,364,868.18

4,482,455.09

4,408,957.76

4,366,296.85

116,158.24

1,758.89



1

0.943

MS

(2.12
)
48,255.35

6/21/2013

3/31/2017

BRS9PGQM2

ARAMARK CORPORATION LOAN TERM
 
 
 
 
216,407.28

216,189.86

215,973.89

216,207.81

(17.95
)
(22.98
)


0.375

0.314

AO

(0.04
)
2,005.81

10/9/2012

4/15/2015

BRS9PGR33

ARAMARK CORPORATION LOAN TERM
 
 
 
 
1,699,615.62

1,804,161.81

1,802,359.45

1,744,516.99

59,644.82

4,499.58



0.875

0.691

AO

(0.04
)
24,093.19

3/13/2013

4/30/2017

BRSHE90B4

ARAMARK CORPORATION SENIOR SECURED TERM
 
 
 
 
3,631,750

3,671,279.5

3,650,000

3,633,974.3

37,305.2

708.23



0.25

0.319

MN

(4.6
)
37,330.97

6/12/2013

5/15/2015

039483AY8

ARCHER-DANIELS-MIDLAND COMPANY CORP BND
 
 
 
 
2,747,631.25

2,581,370.16

2,275,000

2,641,774.57

(60,404.41
)
(21,492.61
)


0.25

0.323

JJ

2.09


3/11/2013

7/15/2015

03979GAL9

ARDEN REALTY LP SENIOR CORP BND
 
 
 
 
3,226,650

3,106,635.01

3,000,000

3,060,246.39

46,388.62

(16,474.69
)


0.125

0.177

JJ

1.33


6/12/2013

7/31/2014

BRSG9SY49

ARDENT MEDICAL SENIOR SECURED TERM LOAN
 
 
 
 
1,773,981

1,797,132.35

1,791,900

1,776,394.86

20,737.49

50.45



0.5

0.83

JJ

6.89

30,988.33

6/10/2013

7/31/2017

00205BAA6

ARI FLEET LEASE TRUST ARIFL_12 ABS 12-B
 
 
 
 
4,211,938.08

4,206,883.63

4,211,938.08

4,211,938.08

(5,054.45
)



0.625

1.044

FA

1.5

5,557.76

12/27/2013

8/31/2017

30219GAD0

ARISTOTLE HOLDING INC SENIOR CORP BND
 
 
 
 
4,067,024.68

4,232,121.11

4,100,000

4,074,509.43

157,611.68

1,945.23



1

1.657

FA

3.18


11/14/2013

8/31/2019

045167CH4

ASIAN DEVELOPMENT BANK SENIOR CORP BND
 
F

 
 
750,000

750,000

750,000

750,000





0.625

0.81

MS

0.17

327.28

11/8/2013

9/30/2017

00206RAW2

AT&T INC CORP BND
 
 
 
 
6,694,297.5

6,921,387.27

6,625,000

6,659,296.62

262,090.65

(3,521.86
)


0.75

1.149

AO

4.14

97,718.75

10/10/2013

10/31/2017

78387GAP8

AT&T INC CORP BND
 
 
 
 
1,061,005.47

1,032,070

1,000,000

1,011,730.73

20,339.27

(4,198.19
)


0.75

0.776

JD

0.54


3/22/2013

12/31/2017

00206RBR2

AT&T INC CORP BND
 
 
 
 
3,499,335

3,502,506.88

3,500,000

3,499,580.42

2,926.46

49.01



0.25

0.386

JD

2.6


9/24/2013

12/15/2015

00206RAV4

AT&T INC CORP BND
 
 
 
 
5,989,142.5

5,917,973.6

5,750,000

5,860,387.11

57,586.49

(16,808.16
)


0.625

0.661

MN

0.69


5/3/2013

11/30/2017

00206RBS0

AT&T INC SENIOR CORP BND
 
 
 
 
3,000,000

2,994,209.97

3,000,000

3,000,000

(5,790.03
)



0.875

1.284

JJ

0.72

12,019.45

12/19/2013

1/31/2018

00206RBB7

AT&T INC SENIOR CORP BND
 
 
 
 
11,577,962.75

11,589,004.6

11,575,000

11,577,767.95

11,236.65

(618.15
)


0.375

0.377

JJ

3.06


12/19/2013

1/15/2016

05252EAB9

AUST & NZ BANK GROUP LOCAL BND 144A
 
F

 
 
6,387,072

6,440,959.94

6,400,000

6,392,540.55

48,419.39

1,060.33



0.375

0.336

FA

1.27

32,000

11/26/2013

2/15/2016

05253JAC5

AUSTRALIA & NEW ZEALAND BANKIN SENIOR
 
E

 
 
774,550.5

752,860.54

775,000

774,605.37

(21,744.83
)
22.02



0.75

0.898

FA

2.14

5,618.75

3/8/2013

2/28/2018

05253JAB7

AUSTRALIA & NEW ZEALAND BANKIN SENIOR
 
E

 
 
8,890,299

8,890,032

8,900,000

8,893,136.01

(3,104.01
)
802.74



0.25

0.296

FA

1.91


8/28/2013

2/28/2015

BRSJL0RC0

AUXILIUM PHARMACEUTICALS INC SENIOR
 
 
 
 
9,529,095.84

9,701,639.32

9,605,583.49

9,536,472.83

165,166.49

5,218.42



0.375

0.332

MS

(2.27
)
155,389

4/3/2013

3/15/2016

BRSJBG6J4

AVIS BUDGET CAR RENTAL LLC SENIOR
 
 
 
 
2,368,846.99

2,383,992.5

2,388,770.04

2,370,874.04

13,118.46

910.83



0.25

0.34

AO

0.04

18,360.03

4/25/2013

4/15/2016

06052YAC3

BAAT_12-1 ABS 12-1
 
 
 
 
5,433,174.81

5,445,865.69

5,433,368.78

5,433,243.2

12,622.49

30.71



1.375

1.429

JD

2.38

12,495.36

7/11/2013

6/30/2018

05522RAB4

BACCT ABS_06 A7 A7
 
 
 
 
4,980,664.06

4,984,949.85

5,000,000

4,996,616.09

(11,666.24
)
1,595.29



1.375

1.546

JJ

0.4

2,710.88

11/8/2013

7/31/2018

BRSHC6N35

BAKERCORP INTERNATIONAL INC SENIOR
 
 
 
 
1,171,150

1,163,338.43

1,171,150

1,171,150

(7,811.57
)



0.875

0.62

MS

0.11

12,752.03

11/22/2013

9/15/2016

62944BAN4

BANK NEDERLANDSE GEMEENTEN SENIOR CORP
 
F

 
 
6,980,890

7,032,690.21

7,000,000

6,982,813.7

49,876.51

1,594.42



0.25

0.306

AO

0.95


11/22/2013

10/31/2015

62944BAH7

BANK NEDERLANDSE GEMEENTEN UNSEC CORP
 
F

 
 
15,055,200

15,186,900

15,000,000

15,022,888.36

164,011.64

(4,717.15
)


1.25

1.368

AO

0.71


11/20/2013

10/31/2018

06052YAD1

BANK OF AMERICA AUTO TRUST BAA ABS 12-1
 
 
 
 
4,998,468

5,038,200

5,000,000

4,999,219.43

38,980.57

111.22



0.625

0.55

MN

1.04

12,874.98

11/26/2013

11/15/2016

06051GEG0

BANK OF AMERICA CORP CORP BND
 
 
 
 
5,312,100

5,256,354.15

5,000,000

5,224,124.6

32,229.55

(25,822.96
)


3

1.371

MON

1.27

5,135.42

6/19/2012

6/20/2027

06051GEQ8

BANK OF AMERICA CORP CORP BND
 
 
 
 
11,570,293

12,054,050.35

11,300,000

11,525,246.3

528,804.05

(17,299.42
)


4

2.014

MON

5.21


10/4/2012

8/20/2042

06050TLR1

BANK OF AMERICA CORP SENIOR CORP BND
 
 
 
 
2,498,150

2,493,619.93

2,500,000

2,498,230.6

(4,610.67
)
80.6



4

1.953

MON

2.43


10/18/2012

9/20/2042






06366QGN1

BANK OF MONTREAL CORP BND
 
A

 
 
2,500,000

2,503,475

2,500,000

2,500,000

3,475




3

2.055

MON

0.29

4,688.17

10/31/2012

10/20/2042

063679ZT4

BANK OF MONTREAL CORP BND 144A
 
A

 
 
2,196,150

2,256,011.96

2,200,000

2,197,584.73

58,427.23

189.59



5

4.004

MON

1.11


4/23/2010

9/15/2033

06366QW86

BANK OF MONTREAL CORP BND MTN
 
A

 
 
2,993,850

3,098,600.22

3,000,000

2,996,184.37

102,415.85

301.53



4.5

1.977

MON

1.39


10/7/2010

6/20/2024

06406HCA5

BANK OF NEW YORK MELLON CORP/T CORP BND
 
 
 
 
1,497,285

1,538,773.16

1,500,000

1,498,341.06

40,432.1

130.67



4.5

2.003

MON

1.5


10/7/2010

8/20/2024

06406HBX6

BANK OF NEW YORK MELLON CORP/T CORP BND
 
 
 
 
3,367,975

3,355,813.44

3,250,000

3,359,419.96

(3,606.52
)
(8,555.04
)


4.5

1.829

MON

1.02

(16,611.11
)
10/7/2010

7/20/2023

06406HCC1

BANK OF NEW YORK MELLON CORP/T CORP BND
 
 
 
 
7,498,680

7,553,774.25

7,500,000

7,501,132.78

52,641.47

(313.1
)


4.5

2.109

MON

1.54


10/7/2010

10/20/2024

06406HCH0

BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
600,000

599,088

600,000

600,000

(912
)



4.5

2.035

MON

0.54

40.79

10/7/2010

4/20/2025

06406HCD9

BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
2,651,775.5

2,657,827.57

2,650,000

2,651,186.4

6,641.17

(12.88
)


4.5

2.15

MON

0.53

27,844.44

10/7/2010

2/20/2025

06406HCG2

BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
3,597,876

3,583,312.6

3,600,000

3,598,455.3

(15,142.7
)
179.3



4.5

2.072

MON

1.83


10/7/2010

5/20/2025

06406HCP2

BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
4,993,750

4,943,826.7

5,000,000

4,993,843.91

(50,017.21
)
93.91



1.625

1.238

MON

2.34


3/18/2009

7/20/2024

06406HCF4

BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
9,682,015.5

9,680,611.41

9,675,000

9,679,827.17

784.24

(670.57
)


4.5

2.004

MON

1.75

12,231.46

10/7/2010

3/20/2025

06406HCK3

BANK OF NEW YORK MELLON CORP/T SENIOR
 
 
 
 
16,000,000

15,994,399.36

16,000,000

16,000,000

(5,600.64
)



3.5

1.232

MON

3.45

28,270.67

1/18/2012

12/20/2026

06417FBG4

BANK OF NOVA SCOTIA (HOUSTON B SENIOR
 
 
 
 
5,000,000

5,018,915

5,000,000

5,000,000

18,915




6.5

5.045

MON

0.46

8,795.4

9/11/2008

4/15/2024

06415CAA7

BANK OF NOVA SCOTIA TORONTO BR CORP BND
 
A

 
 
1,140,524

1,134,253.98

1,100,000

1,125,385.39

8,868.59

(2,407
)


6.5

4.994

MON

0.93


9/11/2008

4/15/2024

064159AM8

BANK OF NOVA SCOTIA TORONTO BR CORP BND
 
A

 
 
1,497,000

1,550,657.27

1,500,000

1,498,136.26

52,521.01

147.03



6.5

5.028

MON

1.41


9/11/2008

1/15/2024

06415CAE9

BANK OF NOVA SCOTIA TORONTO BR SECURED
 
A

 
 
2,197,580

2,241,689.93

2,200,000

2,198,416.93

43,273

121.35



4.5

2.41

MON

2.3


10/7/2010

3/15/2025

06415CAD1

BANK OF NOVA SCOTIA TORONTO BR SECURED
 
A

 
 
4,200,824.8

4,229,903.93

4,200,000

4,200,362.13

29,541.8

(75.29
)


5

2.827

MON

0.46


9/29/2009

4/15/2024

064159CU8

BANK OF NOVA SCOTIA TORONTO BR SENIOR
 
A

 
 
1,224,632.5

1,211,739.61

1,225,000

1,224,638.22

(12,898.61
)
5.72



4.5

4.234

MON

2.29

(2,860.03
)
6/18/2009

6/15/2039

064159BW5

BANK OF NOVA SCOTIA TORONTO BR SENIOR
 
A

 
 
6,000,000

6,009,600.24

6,000,000

6,000,000

9,600.24




4.5

1.824

MON

0.58

9,925.07

8/31/2010

4/15/2025

064159DA1

BANK OF NOVA SCOTIA TORONTO BR SENIOR
 
A

 
 
8,497,535

8,508,445.43

8,500,000

8,497,577.3

10,868.13

42.3



5

3.404

MON

4.26


7/29/2009

7/15/2024

G089B6CD0

BARCLAYS BANK PLC - GTD SENIOR CORP BND
 
D

 
 
3,380,574.55

3,525,341.97

2,130,000

3,385,578.09

139,763.88

578.35


138,316.55

4.5

2.41

MON

3.03

(6,793.97
)
10/7/2010

2/15/2025

06739FGF2

BARCLAYS BANK PLC CORP BND
 
F

 
 
5,638,250

5,505,566.4

5,000,000

5,488,857.38

16,709.02

(44,831.36
)


4.5

2.425

MON

1.22


10/7/2010

1/15/2025

06739GAR0

BARCLAYS BANK PLC CORP BND
 
F

 
 
6,311,885

6,279,719.06

5,625,000

6,303,758.23

(24,039.17
)
(8,126.77
)


4.5

2.506

MON

3

(115,597.22
)
10/7/2010

10/15/2024

06739FFZ9

BARCLAYS BANK PLC LOCAL BND
 
F

 
 
528,417

512,110

500,000

503,421.66

8,688.34

(1,601.51
)


4.5

2.533

MON

0.57


10/7/2010

9/15/2024

06741CAB0

BARCLAYS BANK PLC SENIOR LOCAL BND 144A
 
F

 
 
1,393,294

1,445,094.01

1,400,000

1,395,413.34

49,680.67

330.71



4.5

2.348

MON

1.27

15,750

10/7/2010

12/15/2024

BRSG8SYA6

BASS PRO GROUP LLC SENIOR SECURED TERM
 
 
 
 
2,108,539.75

2,123,505.64

2,113,824.32

2,109,340.04

14,165.6

191.76



4.5

2.394

MON

(0.08
)
21,907.77

10/7/2010

1/15/2025

G08820EL5

BAT INTL FIN PLC SENIOR CORP BND EMTN
 
F

 
 
2,841,307.5

2,854,816.67

2,850,000

2,843,511.65

11,305.02

719.72



4.5

2.862

MON

1.04


12/8/2009

11/15/2024

071813AZ2

BAXTER INTERNATIONAL INC. CORP BND
 
 
 
 
4,010,640

4,022,279.6

4,000,000

4,000,377.9

21,901.7

(589.25
)


4.5

2.251

MON

1.29


10/7/2010

12/15/2024

071813BH1

BAXTER INTERNATIONAL INC. SENIOR CORP
 
 
 
 
499,135

501,603.55

500,000

499,238.72

2,364.83

79.45



4.5

2.344

MON

0.82

2,243.06

10/7/2010

4/15/2025

071813BJ7

BAXTER INTERNATIONAL INC. SENIOR CORP
 
 
 
 
1,999,800

1,988,305.82

2,000,000

1,999,823.09

(11,517.27
)
10.52



4.5

2.154

MON

1.99

18,911.11

10/7/2010

4/15/2025

07385TAJ5

BEAR STEARNS CO INC CORP BND
 
 
 
 
325,959.9

313,077

300,000

304,835.41

8,241.59

(1,373.34
)


4.5

2.145

MON

0.68

8,550

10/7/2010

4/15/2025

073928S46

BEAR STEARNS CO INC CORP BND MTN
 
 
 
 
3,683,076.6

3,707,657.34

3,730,000

3,694,779.21

12,878.13

3,028.05



4.5

2.336

MON

1.67

6,225.5

10/7/2010

4/15/2025

075887BB4

BECTON DICKINSON CORP BND
 
 
 
 
1,249,587.5

1,252,221.59

1,250,000

1,249,760.43

2,461.16

20.66



4.5

2.205

MON

1.69

10,937.5

10/7/2010

4/15/2025

BRSKKU452

BELDEN FINANCE 2013 LP SENIOR SECURED
 
 
 
 
1,109,431.97

1,114,270.09

1,112,212.5

1,109,510.75

4,759.34

85.75



4.5

2.159

MON

(0.92
)

10/7/2010

4/15/2025






079860AG7

BELLSOUTH CORPORATION CORP BND
 
 
 
 
539,195

516,200

500,000

506,054.28

10,145.72

(2,166.37
)


4.5

2.483

MON

0.59


10/7/2010

4/15/2025

BRSHUKHH0

BERLIN PACKAGING LLC SENIOR SEC TERM
 
 
 
 
544,513.75

550,331.02

547,250

544,838.72

5,492.3

128.15



4.5

2.214

MON

(2.16
)
6,676.39

10/7/2010

2/15/2025

BRSLNCKT7

BERRY PLASTICS CORP SENIOR SECURED TERM
 
 
 
 
3,935,137.5

3,940,068.75

3,945,000

3,935,137.5

4,931.25




4

2.651

MON

0.02


10/3/2011

7/15/2041

BRSHBHS86

BERRY PLASTICS CORP SENIOR SECURED TERM
 
 
 
 
11,151,234.37

11,119,671.17

11,166,234.37

11,151,948.85

(32,277.68
)
586.91



4.5

2.251

MON

0.07

99,078.07

10/7/2010

5/15/2025

05541VAD8

BG ENERGY CAPITAL PLC CORP BND 144A
 
F

 
 
4,292,819

4,488,995.66

4,300,000

4,295,883.48

193,112.18

358.06



4.5

2.109

MON

1.27

61,812.5

10/7/2010

5/15/2025

055451AB4

BHP BILLITON FINANCE LTD CORP BND
 
F

 
 
1,742,200

1,685,595.91

1,550,000

1,685,434.83

161.08

(17,296.45
)


4.5

3.275

MON

0.74

40,687.5

3/26/2009

4/15/2024

055451AG3

BHP BILLITON FINANCE LTD CORP BND
 
F

 
 
2,583,704.25

2,353,783.5

2,325,000

2,341,926.64

11,856.86

(17,302.78
)


5

2.805

MON

0.53

63,937.5

9/29/2009

4/15/2024

055451AN8

BHP BILLITON FINANCE LTD SENIOR CORP BND
 
F

 
 
4,989,550

5,024,781

5,000,000

4,995,966.9

28,814.1

873.12



5

2.721

MON

0.57


9/29/2009

3/15/2024

055451AM0

BHP BILLITON FINANCE LTD SENIOR CORP BND
 
F

 
 
5,656,200

5,651,920.83

5,650,000

5,650,744.76

1,176.07

(1,427.21
)


5

3.28

MON

0.52

7,615.13

3/26/2009

4/15/2024

055451AP3

BHP BILLITON FINANCE LTD SENIOR CORP BND
 
F

 
 
6,706,708

6,773,940.31

6,725,000

6,713,311.53

60,628.78

902.92



5

2.586

MON

2.78


9/29/2009

3/15/2024

BRSKH43E6

BIOMET INC SENIOR SECURED TERM LOAN
 
 
 
 
7,770,400.97

7,832,016.44

7,788,169.05

7,770,956.03

61,060.41

599.7



5

3.217

MON

(3.13
)
54,592.02

3/26/2009

1/15/2024

BRSK4S5S4

BMC SOFTWARE FINANCE INC SENIOR SECURED
 
 
 
 
4,712,974

4,760,713.8

4,740,000

4,712,985.01

47,728.79

11.01



1.625

1.209

MON

(4.2
)

3/2/2011

4/20/2034

05578XAC2

BMWOT_13-A ABS 13-A A3
 
 
 
 
1,684,962.09

1,682,388.27

1,685,000

1,684,962.51

(2,574.24
)
0.42



1.625

1.339

MON

0.75

1,536.62

3/18/2009

10/20/2027

05948XYC9

BOAMS WHOLE CMO 03-J-2A1
 
 
 
 
34,839.06

35,542.6

35,344.35

34,880.91

661.69

33.53



1.625

1.694

MON

2.77

266.87

4/17/2008

5/20/2034

097014AK0

BOEING CAPITAL CORPORATION CORP BND
 
 
 
 
348,762.8

341,865.7

334,000

341,464.85

400.85

(2,295.8
)


1.625

1.578

MON

0.38

5,427.5

3/18/2009

11/20/2034

097023BE4

BOEING CO SENIOR CORP BND
 
 
 
 
1,483,485

1,442,457.74

1,500,000

1,485,607.78

(43,150.04
)
1,735.74



1.625

1.577

MON

3.74

20,710

3/18/2009

12/20/2034

10138MAD7

BOTTLING GROUP LLC CORP BND
 
 
 
 
1,530,340.01

1,575,184.85

1,500,000

1,508,897.55

66,287.3

(1,489.09
)


1.625

1.686

MON

0.66

30,937.5

3/18/2009

1/20/2035

10138MAH8

BOTTLING GROUP LLC CORP BND
 
 
 
 
3,410,288.5

2,986,078.5

2,950,000

2,969,731.14

16,347.36

(56,394.29
)


2

1.908

MON

1.94

82,502.29

10/28/2009

12/20/2039

BRSK5A7F8

BOYD GAMING CORP SENIOR SECURED TERM
 
 
 
 
1,493,731.31

1,503,579.43

1,501,237.5

1,494,116.31

9,463.12

288.91



3.75

3.281

MON

(1.47
)
18,227.19

11/3/2009

12/20/2039

05565QBN7

BP CAPITAL MARKETS PLC CORP BND
 
F

 
 
2,991,480

3,135,100.02

3,000,000

2,996,870.16

138,229.86

440.56



4.5

1.674

MON

0.54

46,875

10/7/2010

6/15/2024

05565QBX5

BP CAPITAL MARKETS PLC CORP BND
 
F

 
 
1,699,898

1,719,874.7

1,700,000

1,699,967.83

19,906.87

8.64



6.5

5.839

MON

0.87

14,450

8/15/2008

5/15/2035

05565QBT4

BP CAPITAL MARKETS PLC CORP BND
 
F

 
 
4,773,490

4,906,304.4

4,750,000

4,763,620.84

142,683.56

(1,178.71
)


6.5

5.832

MON

1.07

53,390

8/15/2008

9/15/2034

05565QCF3

BP CAPITAL MARKETS PLC SENIOR CORP BND
 
F

 
 
3,500,000

3,496,947.27

3,500,000

3,500,000

(3,052.73
)



5

4.099

MON

2.31

6,929.24

4/23/2010

9/15/2036

05565QCG1

BP CAPITAL MARKETS PLC SENIOR CORP BND
 
F

 
 
5,000,000

5,011,854.15

5,000,000

5,000,000

11,854.15




5.5

3.661

MON

2.19


9/23/2010

4/15/2036

05565QBY3

BP CAPITAL MARKETS PLC SENIOR CORP BND
 
F

 
 
5,700,000

5,766,351.99

5,700,000

5,700,000

66,351.99




4.5

3.836

MON

2.98

52,611

6/3/2010

6/15/2035

05565QCC0

BP CAPITAL MARKETS PLC SENIOR CORP BND
 
F

 
 
7,920,810

7,892,421.84

8,000,000

7,927,777.73

(35,355.89
)
4,564.84



5

4.55

MON

1.74

55,000

7/14/2009

12/15/2035

05565QCE6

BP CAPITAL MARKETS PLC SENIOR CORP BND
 
F

 
 
9,224,192.5

8,995,530.47

9,250,000

9,227,414.1

(231,883.63
)
1,266.15



6.5

5.723

MON

4.08

63,593.75

11/30/2007

5/15/2036

07330NAG0

BRANCH BKG & TR CO CORP BND
 
 
 
 
499,335

498,345.07

500,000

499,356.42

(1,011.35
)
21.42



6.5

5.483

MON

1.17


1/31/2008

11/15/2037

07330NAF2

BRANCH BKG & TR CO CORP BND
 
 
 
 
4,500,000

4,503,779.64

4,500,000

4,500,000

3,779.64




5

4.076

MON

1.29


4/23/2010

9/15/2033

07330NAC9

BRANCH BKG & TR CO SENIOR CORP BND
 
 
 
 
999,640

1,009,040.37

1,000,000

999,676.19

9,364.18

32.05



6.5

5.467

MON

1.1


1/31/2008

12/15/2037

07330NAE5

BRANCH BKG & TR CO SENIOR CORP BND
 
 
 
 
3,000,000

3,004,319.7

3,000,000

3,000,000

4,319.7




5

2.794

MON

0.4


3/26/2009

5/15/2023

10620NCG1

BRAZOS HIGHER EDUCATION AUTHOR ABS 11-1
 
 
 
 
3,671,892.03

3,748,994.38

3,722,046.8

3,691,694.11

57,300.27

1,632.62



5

3.222

MON

0.95

10,202.06

3/26/2009

3/15/2023

10620NAC2

BRAZOS HIGHER EDUCATION AUTHOR ABS_05--2
 
 
 
 
4,186,845.27

4,339,124.33

4,361,297.16

4,293,157.8

45,966.53

6,417.06



5

2.801

MON

1.23

4,166.61

4/27/2009

8/15/2023

10620NAH1

BRHEA_05-3A ABS 05-3 A14
 
 
 
 
351,262.3

356,232.4

356,518.33

353,312.52

2,919.88

2,515.9



6.5

5.42

MON

1.12

557.94

1/31/2008

1/15/2038






BRSLMDTH3

BRICKMAN GROUP HOLDINGS INC SENIOR SECURED
 
 
 
 
1,223,850

1,223,850

1,230,000

1,223,850





1.889

1.896

MON

0.07


12/3/2013

12/18/2020

BRSH62EH0

BRIGHT HORIZONS FAMILY SOLUTIO SENIOR
 
 
 
 
2,528,658.04

2,567,609.59

2,554,200.04

2,531,879.35

35,730.24

979.47



4.5

2.208

MON

(6.06
)
25,908.73

10/7/2010

5/15/2023

110122AV0

BRISTOL-MYERS SQUIBB CO SENIOR CORP BND
 
 
 
 
4,977,000

4,886,436.85

5,000,000

4,977,687.65

(91,250.8
)
687.65



5

3.502

MON

2.22


7/29/2009

7/15/2023

G15820CH7

BRITISH TELECOMMUNICATIONS PLC SENIOR
 
D

 
 
2,050,080.18

2,050,374.7

1,050,000

2,041,836.22

8,538.48

(8,243.96
)

22,686.37

5

3.079

MON

4.26

1,201.61

3/26/2009

7/15/2023

115637AN0

BROWN-FORMAN CORPORATION SENIOR CORP BND
 
 
 
 
1,295,697

1,257,793.54

1,300,000

1,296,571.45

(38,777.91
)
207.28



5.5

2.957

MON

1.84


6/3/2009

10/15/2023

07387AAW5

BSARM CMO_05-3 2A1
 
 
 
 
1,005,322.21

904,479.39

1,024,206

1,006,943.79

(102,464.4
)
689.24



5

3.465

MON

3.95

7,087.96

3/26/2009

1/15/2024

07384M3D2

BSARM_04-10 CMO 04-9 22A1
 
 
 
 
812,606.37

841,378.09

828,344.91

813,915.59

27,462.5

707.68



5

3.146

MON

2.92

6,673.13

3/27/2009

1/15/2024

BRSG4MWQ0

BSN MEDICAL SENIOR SECURED TERM NOTE
 
 
 
 
2,089,753.83

2,111,151

2,100,000

2,091,512.74

19,638.26

377.33



5

2.753

MON

(0.09
)
21,233.33

9/29/2009

2/15/2024

Z918CTYG7

BUMP_12-5 ABS_12-5 A2
 
D

 
 
571,094.05

593,170.15

356,610.6

571,094.05

22,076.1



19,542.26

5

3.59

MON

1.79

3,310.87

6/11/2009

3/15/2024

126802BS5

CABMT_12-2A ABS_11-2A A2
 
 
 
 
18,603,606.06

18,561,018.68

18,445,000

18,563,065.91

(2,047.23
)
(12,054.22
)


5

2.579

MON

1.1

36,111.07

3/26/2009

1/15/2024

BRSKJS6N8

CAISSE D'AMORT DETTE SOCIALE SENIOR CORP
 
F

 
 
4,986,800

5,018,300.7

5,000,000

4,988,043.08

30,257.62

1,099.65



4.5

2.237

MON

1.11


10/7/2010

1/15/2024

BRSJ3EEC4

CALPINE CONSTRUCTION FINANCE C SENIOR
 
 
 
 
3,146,264.62

3,122,103.84

3,154,150

3,146,899.61

(24,795.77
)
306.73



5

2.142

MON

0.16

24,242.58

9/29/2009

1/15/2024

BRSJ7A0J8

CALPINE CONSTRUCTION FINANCE C SENIOR
 
 
 
 
5,012,038.38

4,986,838.31

5,044,650

5,013,712.89

(26,874.58
)
991.45



4.5

2.251

MON

0.14

42,003.89

10/7/2010

1/15/2024

BRSKXS388

CALPINE CORP TERM LOAN
 
 
 
 
1,353,306.25

1,362,262.8

1,355,000

1,353,320.38

8,942.42

14.13



4.5

2.107

MON

(0.08
)
3,011.11

10/7/2010

5/15/2024

427028AA3

CANADA GOVERNMENT GOVT BND
 
A

 
 
2,550,398.5

2,551,708.35

2,550,000

2,550,374.64

1,333.71

(29.89
)


5

3.404

MON

1.71


3/26/2009

3/15/2024

136069EH0

CANADIAN IMPERIAL BANK OF COMM CORP BND
 
A

 
 
2,234,372.73

2,223,738.04

2,200,000

2,212,366.37

11,371.67

(3,273.79
)


5

2.709

MON

0.36

16,500

9/29/2009

4/15/2024

136069FV8

CANADIAN IMPERIAL BANK OF COMM SENIOR
 
A

 
 
2,575,000

2,585,402.98

2,575,000

2,575,000

10,402.98




5

3.676

MON

1.21

5,173.63

6/11/2009

6/15/2024

136069ET4

CANADIAN IMPERIAL BANK OF COMM SENIOR
 
A

 
 
3,527,407.5

3,541,173.3

3,525,000

3,527,653.74

13,519.56

(53.52
)


4.5

2.05

MON

1.27

12,800

10/7/2010

2/15/2025

136069FU0

CANADIAN IMPERIAL BANK OF COMM SENIOR
 
A

 
 
4,996,900

5,023,059.1

5,000,000

4,997,360.96

25,698.14

253.94



5

2.772

MON

1.17


9/29/2009

4/15/2024

136375BU5

CANADIAN NTL RAIL CO CORP BND
 
A

 
 
8,414,868

8,406,623.94

8,350,000

8,405,532.58

1,091.36

(4,855.61
)


4.25

1.259

MON

3.62

60,537.5

10/16/2013

10/16/2022

14041NDB4

CAPITAL ONE MULTI-ASSET EXECUT ABS
 
 
 
 
5,248,035.16

5,277,687.11

5,300,000

5,273,410.27

4,276.84

2,544.85



5

0.672

MON

0.41

3,543.39

3/9/2011

11/20/2032

14041NBN0

CAPITAL ONE MULTI-ASSET EXECUT ABS 04-A4
 
 
 
 
15,030,315.45

15,006,300

15,000,000

15,007,675.09

(1,375.09
)
(5,266.27
)


3.5

0.747

MON

0.19

14,957.63

2/15/2012

1/20/2036

14041NCK5

CAPITAL ONE MULTI-ASSET EXECUT ABS_05-A9
 
 
 
 
5,826,577.15

5,863,426.31

5,875,000

5,854,852.27

8,574.04

2,833.99



0.767

0.671

MON

0.34

3,927.81

12/3/2012

2/20/2038

14170TAF8

CAREFUSION CORP CORP BND
 
 
 
 
5,350,740.6

4,980,576.6

4,860,000

4,943,867.06

36,709.54

(39,746.93
)


4.5

0.384

MON

2.55

16,371.53

2/6/2012

12/20/2032

14313LAC0

CARMX_13-1 ABS 13-1
 
 
 
 
4,799,854.56

4,791,120.1

4,800,000

4,799,890.64

(8,770.54
)
10.29



0.687

0.471

MON

1.39

7,200

12/5/2012

12/20/2038

14313MAB0

CARMX_13-2 ABS_13-2 A2
 
 
 
 
2,549,775.13

2,550,180.04

2,549,848.56

2,549,802.41

377.63

12.57



3

1.134

MON

0.82

2,889.31

3/21/2012

11/16/2030

BRSE4J2V4

CATALENT PHARMA SOLUTIONS INC SENIOR
 
 
 
 
5,888,001.08

5,965,653.11

5,942,122.31

5,905,583.21

60,069.9

2,583.91



3

1.653

MON

(0.11
)
64,701.02

9/26/2013

12/20/2037

BRSKPBQL0

CATALINA MARKETING CORPORATION SENIOR
 
 
 
 
4,582,116

4,686,255

4,628,400

4,583,487.65

102,767.35

1,487.65



4

1.952

MON

(0.18
)
50,749.98

7/24/2012

11/16/2025

14912L4U2

CATERPILLAR INC CORP BND GMTN
 
 
 
 
4,219,068

4,202,499.68

4,200,000

4,201,739.86

759.82

(1,777.84
)


0.567

0.537

MON

0.3

6,053.6

5/31/2012

7/16/2041

149123BY6

CATERPILLAR INC SENIOR CORP BND
 
 
 
 
2,199,538

2,211,184.29

2,200,000

2,199,769.89

11,414.4

38.64



2.161

1.571

MON

0.61

10,450

7/7/2011

11/16/2036

14912L5J6

CATERPILLAR INC SENIOR CORP BND
 
 
 
 
5,240,000

5,166,456.02

5,240,000

5,240,000

(73,543.98
)



2.65

2.735

MON

1.63

32,750

9/7/2011

10/29/2020

14912L5S6

CATERPILLAR INC SENIOR CORP BND MTN
 
 
 
 
1,669,749.5

1,688,713.47

1,670,000

1,669,776.04

18,937.43

20.87



2.25

0.366

MN

0.93


2/15/2013

5/28/2015

14912L5N7

CATERPILLAR INC SENIOR CORP BND MTN
 
 
 
 
2,896,404

2,902,122.05

2,900,000

2,897,488.53

4,633.52

289.23



2.1

1.633

MN

1.33


8/30/2013

5/18/2016

14912L5M9

CATERPILLAR INC SENIOR CORP BND MTN
 
 
 
 
5,000,000

5,004,600.15

5,000,000

5,000,000

4,600.15




2.85

0.975

JD

0.43

6,345.99

6/6/2013

6/15/2015






17119RAD4

CCART_13-AA ABS_13-AA A4 144A
 
 
 
 
884,992.92

885,566.43

885,000

884,992.12

574.31

(0.8
)


1.3

0.869

AO

1.32

1,680.03

6/6/2013

4/3/2017

17119RAC6

CCART_13-AA BAS_13-AA A3 144A
 
 
 
 
3,089,639.09

3,096,550.74

3,090,000

3,089,668.95

6,881.79

29.86



2.7

1.502

JD

1.62

3,983.52

7/28/2011

6/16/2015

17119VAC7

CCART_13-B ABS_13-B A3 144A
 
 
 
 
929,865.98

928,960.87

930,000

929,871.16

(910.29
)
5.18



2.3

0.992

MN

1.8

746.59

8/30/2013

5/10/2016

17119VAD5

CCART_13-B ABS_13-BA A4 144A
 
 
 
 
1,474,731.41

1,467,956.87

1,475,000

1,474,740.5

(6,783.63
)
9.09



0.95

0.652

MN

2.92

1,769.18

6/6/2013

5/26/2015

17305EFC4

CCCIT ABS 13-A3 A3
 
 
 
 
12,642,449.5

12,686,349.53

12,645,000

12,642,757.65

43,591.88

220.12




0.099

MJSD

2.9


10/17/2013

10/11/2018

17305EDY8

CCCIT_13-A1 ABS_07-A8 A8
 
 
 
 
3,122,148.44

3,091,365.08

2,700,000

3,114,071.71

(22,706.63
)
(8,076.73
)


2.75

1.109

SEP

2.79

(31,435.98
)
10/30/2012

9/7/2015

17305EFL4

CCCIT_13-A12 SENIOR ABS 13-A12 A12
 
 
 
 
500,000

500,045.01

500,000

500,000

45.01





0.008

MJSD

0.47


12/11/2013

10/31/2020

17305EFE0

CCCIT_13-A6 ABS 13-A6 A6
 
 
 
 
884,570.31

880,976.25

875,000

884,435.26

(3,459.01
)
(135.05
)


4.875

0.981

NOV

2.07

(2,791.25
)
11/25/2013

11/27/2015

17305EFF7

CCCIT_13-A7 ABS 13-A7 A7
 
 
 
 
7,003,281.25

7,012,390.14

7,000,000

7,003,261.61

9,128.53

(19.64
)



0.062

MJSD

0.55

(815.99
)
12/1/2013

6/7/2021

125094A$8

CDP FINANCIAL INC CORP BND 144A
 
A

 
 
12,675,681

12,374,995.25

12,100,000

12,362,660.96

12,334.29

(73,386.88
)



0.091

MJSD

0.93

181,500

9/30/2013

8/23/2019

BRSJ28TC2

CEDAR BAY GENERATING CO LP SENIOR
 
 
 
 
2,627,984.57

2,669,474.87

2,654,529.87

2,630,411.4

39,063.47

2,178.64




0.086

MJSD

(0.68
)
44,461.7

9/30/2013

6/27/2019

BRSHJV7B3

CEDAR FAIR L.P. SENIOR SECURED TERM
 
 
 
 
1,420,776.45

1,428,667.29

1,424,337.3

1,421,189

7,478.29

170.59




0.142

MJSD

(1.67
)
11,864.81

10/10/2013

10/2/2020

BRSHE9NJ2

CENTAUR ACQUISITION LLC SENIOR SECURED
 
 
 
 
2,537,971.37

2,576,232.25

2,550,725

2,539,556.88

36,675.37

575.94




0.036

MJSD

(6.9
)
34,308.43

10/21/2013

10/2/2020

BRSDYT4C1

CEQUEL COMMUNICATIONS LLC TERM LOAN
 
 
 
 
7,869,861.4

7,967,326

7,960,718.6

7,891,959.19

75,366.81

3,460.95



5.625

1.101

AUG

(0.02
)
71,385.39

11/27/2013

8/25/2017

165182BA3

CF_09-2A ABS 12-1A 144A
 
 
 
 
2,387,936.46

2,393,285.42

2,387,936.46

2,387,936.46

5,348.96





0.071

FMAN

1.75

6,157.98

8/23/2013

8/14/2020

161571FR0

CHAIT_12-8 ABS 12-8
 
 
 
 
5,000,828.5

4,991,400.15

5,000,000

5,000,523.37

(9,123.22
)
(72.79
)


8.5

1.869

DEC

0.63

6,750

11/29/2013

12/7/2016

161571FL3

CHAIT_12-A5 ABS_12-A5 A5
 
 
 
 
4,999,816

4,999,599.85

5,000,000

4,999,824.68

(224.83
)
1.69



0.167

0.195

MON

0.59

7,374.99

6/26/2013

5/29/2015

161571FW9

CHAIT_13-A3 ABS 13-A3
 
 
 
 
3,405,000

3,387,498.3

3,405,000

3,405,000

(17,501.7
)



1.125

1.245

MN

1.37

3,911.81

5/2/2013

5/9/2016

161571FX7

CHAIT_13-A5 ABS_13-A5 A
 
 
 
 
2,249,976.15

2,247,614.94

2,250,000

2,249,983.35

(2,368.41
)
3



2.9

1.934

MS

1.06

2,643.75

2/22/2011

9/17/2014

161571GH1

CHAIT_13-A9 ABS 13-A9 A
 
 
 
 
1,500,000

1,501,455

1,500,000

1,500,000

1,455




5.5

2.893

JJ

(3.46
)

1/6/2010

1/26/2014

BRSJ315T5

CHARTER COM OPER SENIOR SECURED TERM
 
 
 
 
4,828,573.32

4,798,319.09

4,840,675

4,829,470.81

(31,151.72
)
431.96



2.875

0.446

JJ

0.12

37,205.09

2/15/2013

1/15/2015

161630BD9

CHASE CMO_07-A1 11M1
 
 
 
 
2,528,851.88

2,205,859.4

2,504,879.37

2,524,197.56

(318,338.16
)
(4,707.8
)


1

1.12

JD

3.83

17,165.57

4/9/2013

6/15/2018

161571GC2

CHASE ISSUANCE TRUST ABS 13-A8
 
 
 
 
1,999,543.4

1,994,259.94

2,000,000

1,999,563.57

(5,303.63
)
20.17



0.375

0.387

FA

1.13

2,525

8/9/2013

8/24/2015

161571FH2

CHASE ISSUANCE TRUST ABS_12-A2 A2
 
 
 
 
7,000,000

6,990,549.86

7,000,000

7,000,000

(9,450.14
)



1

1.071

MS

0.49

7,864.94

9/19/2012

9/26/2017

166764AE0

CHEVRON CORP SENIOR CORP BND
 
 
 
 
3,500,000

3,482,055.92

3,500,000

3,500,000

(17,944.08
)



2

0.665

JD

1.84

30,065

2/13/2013

6/1/2016

166764AC4

CHEVRON CORP SENIOR CORP BND
 
 
 
 
4,200,000

4,212,703.61

4,200,000

4,200,000

12,703.61




4.125

2.87

AO

3.06

18,669.01

8/31/2009

10/15/2014

BRSG7ST70

CHG HEALTHCARE SERVICES INC SENIOR SEC
 
 
 
 
3,203,536.43

3,248,030

3,235,895.39

3,208,584.21

39,445.79

1,164.59



0.625

0.732

AO

(0.06
)
42,948.87

4/17/2012

4/24/2015

167562MD6

CHICAGO IL MIDWAY ARPT MUNITAX BND REV
 
 
 
 
3,081,036.68

3,095,040

3,000,000

3,079,186.96

15,853.04

(446.91
)


0.875

1.015

MS

10.06


5/29/2013

9/5/2017

BRSKAX1N1

CINCINNATI BELL INC SENIOR SECURED TERM
 
 
 
 
1,881,035.62

1,897,619.06

1,895,250

1,881,656.23

15,962.83

545.14



0.875

0.921

MS

(0.02
)
14,214.81

9/5/2012

9/12/2017

BRSGF63V4

CINEMARK USA INC SENIOR SECURED TERM
 
 
 
 
2,649,784.5

2,668,639.25

2,663,100

2,651,714.69

16,924.56

510.04



1.375

1.249

MS

(0.03
)
21,780.68

3/22/2013

3/23/2015

17275RAJ1

CISCO SYSTEMS INC CORP BND
 
 
 
 
509,680

501,345

500,000

500,777.45

567.55

(993.41
)


3.875

3.95

JJ

0.3


1/20/2011

1/27/2016

17275RAL6

CISCO SYSTEMS INC CORP BND
 
 
 
 
3,300,000

3,302,145.07

3,300,000

3,300,000

2,145.07




2.875

3.051

FA

0.17

4,205.42

2/1/2012

2/6/2015

17275RAG7

CISCO SYSTEMS INC CORP BND
 
 
 
 
3,989,840

4,089,640

4,000,000

3,998,112.74

91,527.26

534.65



0.875

0.953

JJ

0.34

58,000

1/11/2012

1/20/2015

17305EDL6

CITIBANK CREDIT CARD ISSUANCE ABS_06-A8
 
 
 
 
2,588,682.81

2,599,852.28

2,620,000

2,602,310.84

(2,458.56
)
1,440.7



3

3.125

JJ

0.59

2,062.9

5/13/2013

1/15/2019






17308BAM0

CITIBANK OMNI MASTER TRUST COM ABS
 
 
 
 
5,790,595.7

5,659,182.61

5,575,000

5,737,819.81

(78,637.2
)
38,008.85



5

0.3

JJ

(1.53
)
41,212.93

11/7/2013

7/1/2045

172967FD8

CITIGROUP INC CORP BND
 
 
 
 
4,838,485.05

4,782,680.64

4,553,000

4,652,722.05

129,958.59

(17,744.44
)


2.55

1.26

MS

2.13

108,133.75

11/8/2013

9/18/2015

172967FH9

CITIGROUP INC CORP BND
 
 
 
 
5,734,954.68

5,856,628.56

5,486,000

5,625,898.56

230,730

(17,353.4
)


1.8

1.306

MN

1.09

125,821.41

4/11/2013

11/23/2016

172967GG0

CITIGROUP INC SENIOR CORP BND
 
 
 
 
1,993,720

2,005,399.16

2,000,000

1,995,546.74

9,852.42

537.24



1.15

1.195

MN

1.12


5/8/2013

5/15/2018

172967HG9

CITIGROUP INC SENIOR CORP BND
 
 
 
 
9,990,000

9,967,517.1

10,000,000

9,990,425.62

(22,908.52
)
425.62



1.95

1.98

MN

2.83


11/5/2013

11/8/2018

73723RSH7

CITY OF PORTSMOUTH VA MUNITAX BND GO
 
 
 
 
2,250,000

2,212,807.5

2,250,000

2,250,000

(37,192.5
)



3.875

2.799

AO

1.97


4/6/2010

4/15/2014

12591FAC0

CNH EQUIPMENT TRUST CNH_13-A ABS_13-A A3
 
 
 
 
6,454,998.71

6,453,902.78

6,455,000

6,454,982.93

(1,080.15
)
(4.48
)


1

1.044

FA

2.09

11,134.89

2/20/2013

2/27/2018

12625HAC6

CNH EQUIPMENT TRUST CNH_13-B ABS 13-B A3
 
 
 
 
854,875.77

854,016.77

855,000

854,901.99

(885.22
)
15.06



1

1.053

MN

0.74

1,474.89

8/22/2013

11/15/2016

12591AAC1

CNH_12-B ABS 12-B
 
 
 
 
2,099,925.87

2,106,027.06

2,100,000

2,099,949.96

6,077.1

3.97



3

2.049

DEC

0.57

4,515

11/13/2013

12/7/2015

12624FAC1

CNH_12-C ABS_12-C A3
 
 
 
 
8,539,300.58

8,530,349.89

8,540,000

8,539,620.03

(9,270.14
)
76.7



1.75

1.463

JAN

2.5

12,169.53

11/29/2013

1/22/2016

12613SAC6

CNH_13-C ABS_13-C A3
 
 
 
 
3,154,634.97

3,168,314.01

3,155,000

3,154,664.86

13,649.15

23.68



1

1.023

DEC

2.51

8,045.25

11/29/2013

12/1/2015

12618SAC1

CNH_13-D ABS 13-D A3
 
 
 
 
749,969.55

748,484.98

750,000

749,970.27

(1,485.29
)
0.72



3

0.572

MN

0.85

401.04

12/4/2012

11/25/2014

12625GAA2

CNOOC FINANCE (2013) LTD SENIOR CORP BND
 
F

 
 
6,015,749.76

6,014,519.73

6,037,000

6,020,264.15

(5,744.42
)
1,766.49



3

2.914

FA

5.14

33,958.13

2/10/2010

2/1/2015

191216AP5

COCA-COLA COMPANY (THE) CORP BND
 
 
 
 
997,700

1,019,065.17

1,000,000

999,119.07

19,946.1

116.85



4.421

4.421

JJ

0.48

7,500

12/28/2012

1/1/2015

191216AU4

COCA-COLA COMPANY (THE) CORP BND
 
 
 
 
4,956,450.37

5,024,337.4

4,900,000

4,932,421.21

91,916.19

(3,027.57
)


2.983

2.983

JD

2.51


12/15/2010

12/15/2015

191216BC3

COCA-COLA COMPANY (THE) SENIOR CORP BND
 
 
 
 
3,000,000

3,002,519.76

3,000,000

3,000,000

2,519.76




1.259

1.259

MN

0.31


10/26/2012

11/1/2017

191216BD1

COCA-COLA COMPANY (THE) SENIOR CORP BND
 
 
 
 
6,991,950

6,969,576.32

7,000,000

6,992,397.73

(22,821.41
)
447.73



1.418

1.418

FA

1.81


6/5/2013

2/1/2017

19416QDW7

COLGATE-PALMOLIVE CO CORP BND MTN
 
 
 
 
4,433,134.5

4,460,679.57

4,450,000

4,445,102.85

15,576.72

1,413.42



1.207

1.207

JJ

0.97

13,350

6/14/2012

7/15/2016

19416QEB2

COLGATE-PALMOLIVE CO SENIOR CORP BND MTN
 
 
 
 
1,890,937

1,816,122.09

1,900,000

1,892,118.89

(75,996.8
)
449.64



1.507

1.507

JJ

3.94

8,502.51

6/14/2012

7/15/2017

19648CAE1

COLORADO HOUSING & FINANCE AUT MUNITAX
 
 
 
 
5,030,400

5,092,600

5,000,000

5,018,749.58

73,850.42

(1,957.58
)


2.235

2.235

FA

0.81

40,000

12/15/2010

8/15/2014

20030NAB7

COMCAST CORP CORP BND
 
 
 
 
4,518,668

4,081,311.85

3,850,000

4,017,536.12

63,775.73

(46,924.65
)


3.532

3.389

JJ

0.69

27,200.69

12/3/2012

1/1/2041

20030NAJ0

COMCAST CORP CORP BND
 
 
 
 
4,575,020

4,371,765.76

4,000,000

4,371,672.21

93.55

(49,672.11
)


1.6

1.438

MN

1.67

117,000

6/21/2012

5/15/2016

14041NEK3

COMET_13-A1 ABS 13-A1
 
 
 
 
10,273,447.45

10,250,340.2

10,275,000

10,273,926.03

(23,585.83
)
130.62



0.625

0.688

JD

2.18

16,183.14

12/3/2013

12/28/2016

14041NEM9

COMET_13-A3-A3 ABS 13-A3-A3
 
 
 
 
4,479,465.54

4,457,868.67

4,480,000

4,479,482.36

(21,613.69
)
16.82



0.34

0.35

MJSD

4.54

2,867.2

1/27/2012

6/13/2014

2027A0GJ2

COMMONWEALTH BANK AUSTRALIA SENIOR CORP
 
F

 
 
3,545,535

3,538,044.93

3,500,000

3,532,181.51

5,863.42

(4,714.02
)


0.237

0.274

MON

0.83

9,305.95

6/27/2013

4/20/2016

20271RAD2

COMMONWEALTH BANK OF AUSTRALIA CORP BND
 
E

 
 
4,994,850

5,051,623.15

5,000,000

4,995,126.82

56,496.33

247.26



0.875

0.482

JD

2.27


6/18/2012

12/12/2014

20271RAA8

COMMONWEALTH BANK OF AUSTRALIA SENIOR
 
E

 
 
2,149,183

2,185,518

2,150,000

2,149,666.4

35,851.6

69.55



0.55

0.69

JD

0.58


10/2/2013

6/3/2016

20272BAK0

COMMONWEALTH BANK OF AUSTRALIA SENIOR
 
F

 
 
4,132,320

4,071,611.28

4,000,000

4,026,987.34

44,623.94

(9,632.71
)


0.45

0.482

MS

0.38


3/13/2013

3/18/2016

202795HH6

COMMONWEALTH EDISON COMPANY SECURED CORP
 
 
 
 
3,126,706.5

2,992,745.1

2,850,000

2,977,194.29

15,550.81

(24,788.27
)


0.19

0.187

JJ

0.79

66,975

7/17/2013

7/25/2014

BRSAZTC86

COMMUNITY HLTH SYST INC TERM LOAN
 
 
 
 
4,214,960.62

4,300,278.59

4,268,944.53

4,239,051.31

61,227.28

2,437.6



0.87

0.87

AO

(0.23
)
40,587.38

10/11/2012

10/18/2017

17308BAN8

COMNI_09-A13 ABS_09-A17 A17 144A
 
 
 
 
1,265,548.83

1,212,868.81

1,170,000

1,211,547

1,321.81

(11,858.25
)


0.185

0.237

MON

(0.51
)
28,665

11/23/2012

4/23/2015

20825TAA5

CONOCO INC CORP BND
 
 
 
 
5,679,205.4

5,624,422.2

5,005,000

5,638,380.18

(13,957.98
)
(40,825.22
)


0.185

0.249

MON

3.32

(9,092.19
)
10/10/2012

6/22/2015

20826FAB2

CONOCOPHILLIPS CO SENIOR CORP BND
 
 
 
 
6,868,313.35

6,743,599.93

6,885,000

6,871,521.69

(127,921.76
)
824.93



0.192

0.282

MON

3.18

36,146.25

7/16/2012

3/20/2015

20825CAT1

CONOCOPHILLIPS CORP BND
 
 
 
 
3,546,840.5

3,695,479

3,550,000

3,549,429.27

146,049.73

132.97



0.176

0.207

MON

1.91


7/15/2013

1/19/2016






BRSLM8XP1

CONSOLIDATED COMMUNICATIONS IN SENIOR
 
 
 
 
2,477,550

2,477,550

2,490,000

2,477,550





0.6

0.6

FA

0.07


2/26/2013

3/28/2016

BRSG45CM8

CONSOLIDATED CONTAINER CO LP TERM NOTE
 
 
 
 
2,259,232.52

2,292,530.63

2,281,125

2,263,113.67

29,416.96

869.07



0.42

0.42

MS

(0.09
)
29,123.32

2/25/2013

9/18/2015

209111EW9

CONSOLIDATED EDISON INC CORP BND
 
 
 
 
436,497.6

404,904

400,000

402,176.57

2,727.43

(2,224.93
)


0.45

0.44

MS

0.63

11,100

9/14/2012

9/4/2015

209615CA9

CONSOLIDATED NATURAL GAS CO CORP BND
 
 
 
 
1,532,005.97

1,488,983.01

1,433,000

1,485,462.85

3,520.16

(14,357.55
)


0.375

0.36

FA

0.72

35,825

1/26/2012

2/27/2014

BRSH02032

CONSOLIDATED PRECISION PRODUCT SENIOR
 
 
 
 
243,768.96

245,601.81

244,379.91

243,774.21

1,827.6

6.79



0.5

0.547

FA

(0.08
)
1.47

2/6/2012

2/24/2015

216871AC7

COOPER US INC CORP BND
 
 
 
 
2,372,660

2,275,296.94

2,000,000

2,313,003.66

(37,706.72
)
(21,699.28
)


0.45

0.454

MN

4.02


12/18/2012

11/24/2015

22160KAE5

COSTCO WHSLE CORP SENIOR CORP BND
 
 
 
 
4,574,085

4,485,507.01

4,575,000

4,574,278.11

(88,771.1
)
44.83



0.6

0.901

AO

6.55

25,734.39

9/27/2013

10/25/2016

G2551TAP3

COVENTRY BLDG SOC LOCAL BND EMTN
 
D

 
 
1,551,796.79

1,596,244.84

950,000

1,546,223.43

50,021.41

(1,180.36
)

35,989.66

0.85

0.872

FA

1.63

5,716.9

8/13/2013

8/8/2016

224044BM8

COX COMMUNICATIONS INC CORP BND
 
 
 
 
1,592,878.56

1,520,802.19

1,456,000

1,519,933.6

868.59

(20,474.22
)


0.51

0.535

FA

0.77

56,744.95

8/26/2013

8/28/2015

22546QAE7

CREDIT SUISSE NEW YORK NY CORP BND
 
E

 
 
1,996,820

2,065,682

2,000,000

1,999,170.18

66,511.82

168.66



5

2.972

AO

0.81


11/27/2012

4/15/2015

22546QAG2

CREDIT SUISSE NEW YORK NY CORP BND
 
E

 
 
5,800,000

5,801,624

5,800,000

5,800,000

1,624




4.375

2.065

AO

0.96

18,203.17

7/16/2010

10/15/2015

BRSL3FE10

CROSBY US ACQUISITION CORP SENIOR
 
 
 
 
2,057,425

2,060,638.6

2,060,000

2,057,438.22

3,200.38

13.22



1.25

0.752

MS

(0.09
)
915.55

10/1/2013

9/28/2016

BRSH9LJ56

CROSSMARK HOLDINGS INC SENIOR SECURED
 
 
 
 
2,629,595.55

2,609,861.7

2,634,015.62

2,626,657.04

(16,795.34
)
340.16



0.875

0.964

JD

0.15

30,367.67

11/27/2012

12/20/2017

BRSLM7KD4

CROWN CASTLE OPERATING CO SENIOR SECURED
 
 
 
 
1,343,250

1,354,711.5

1,350,000

1,343,250

11,461.5




0.375

0.441

JD

(0.77
)

2/5/2013

12/21/2015

BRSJ2L1E9

CROWN CASTLE OPERATING CO SENIOR SECURED
 
 
 
 
5,958,377.18

6,024,220.26

6,018,562.81

5,961,728.69

62,491.57

2,953.29



0.52

0.532

FA

(0.02
)
33,227.31

2/5/2013

2/26/2016

BRSJ078E5

CSC HLDGS LLC SENIOR SECURED TERM LOAN
 
 
 
 
13,822,624

13,742,686.08

13,890,200

13,829,306.06

(86,619.98
)
2,595.71



0.5

0.537

MS

0.17

95,027.41

2/14/2013

3/30/2016

BRSLMULK6

CUMULUS MED INC. SENIOR SECURED TERM
 
 
 
 
5,558,850

5,558,850

5,615,000

5,558,850





0.52

0.52

MN

0.14


5/16/2013

5/20/2016

126650BE9

CVS CAREMARK CORP CORP BND
 
 
 
 
2,334,389.12

2,233,055.83

1,988,000

2,248,481.55

(15,425.72
)
(24,464.96
)


1.875

1.911

MS

2.65


8/21/2013

9/18/2018

126650BT6

CVS CAREMARK CORP CORP BND
 
 
 
 
2,381,040

2,320,611.75

2,250,000

2,326,696.79

(6,085.04
)
(13,935.12
)


1.05

1.047

FA

1.91

36,562.5

8/20/2013

8/26/2016

126650CA6

CVS CAREMARK CORP CORP BND
 
 
 
 
6,857,393.2

6,888,811.86

6,860,000

6,857,456.69

31,355.17

63.49



1.35

1.345

AO

2.11


9/18/2013

4/10/2017

12668AZL2

CWALT_05-73CB CMO_05-64CB 1A
 
 
 
 
289,183.81

260,111.61

294,803.5

289,015.34

(28,903.73
)
(1,465.53
)


2.875

0.691

FA

7.02

4,188.81

11/2/2011

2/9/2015

BRSGE3X31

DAIMLERCHRYSLER AG CORP BND
 
D

 
 
1,527,067.45

1,576,164.58

950,000

1,527,723.74

48,440.84

46.22


46,905.32

0.75

0.748

MN

2.56

9,462.94

11/28/2011

11/25/2014

U2339CAR9

DAIMLERCHRYSLER NA HLDG CORP BND
 
 
 
 
5,230,800

5,155,556.6

5,000,000

5,182,647.83

(27,091.23
)
(16,887.18
)


0.875

1.041

MS

1.45


2/1/2013

3/7/2018

233851AF1

DAIMLERCHRYSLER NA HLDG CORP BND 144A
 
 
 
 
2,447,807.1

2,420,284.74

2,370,000

2,447,125.31

(26,840.57
)
(681.79
)


0.5

0.502

MN

3.56

(19,898.13
)
3/6/2013

5/13/2016

233851AN4

DAIMLERCHRYSLER NA HLDG SENIOR CORP BND
 
 
 
 
1,998,840

2,020,854

2,000,000

1,999,501.3

21,352.7

98



2.375

2.437

JJ

0.83

16,500

6/10/2010

7/28/2015

233851AY0

DAIMLERCHRYSLER NA HLDG SENIOR CORP BND
 
 
 
 
3,450,000

3,457,107.32

3,450,000

3,450,000

7,107.32




1.75

1.849

AO

1.68

8,331.75

9/24/2013

10/15/2018

233851AU8

DAIMLERCHRYSLER NA HLDG SENIOR CORP BND
 
 
 
 
4,849,692.1

4,830,172.26

4,870,000

4,853,489.95

(23,317.69
)
693.39



1.758

1.758

JD

2.09

14,791.67

4/17/2013

12/15/2018

233851AZ7

DAIMLERCHRYSLER NA HLDG SENIOR CORP BND
 
 
 
 
4,994,750

5,029,695.5

5,000,000

4,995,464.19

34,231.31

756.2



1.239

1.239

JJ

1.22

30,731.94

6/26/2012

7/1/2016

233851AQ7

DAIMLERCHRYSLER NA HLDG SENIOR CORP BND
 
 
 
 
5,989,080

6,048,353.58

6,000,000

5,994,188.69

54,164.89

906.85



1.56

1.56

JD

1.57


5/10/2012

6/15/2017

235851AL6

DANAHER CORPORATION CORP BND
 
 
 
 
3,993,600

4,098,631

4,000,000

3,996,739.01

101,891.99

320.23



1.754

1.754

AO

3.86

46,000

10/28/2010

4/1/2015

BRSLNYFT5

DARLING INTL INC. SENIOR SECURED TERM
 
 
 
 
1,635,900

1,635,900

1,640,000

1,635,900





1.225

1.225

JD

0.04


6/28/2012

12/1/2016

BRSAUE236

DAVITA HEALTHCARE PARTNERS INC TERM LOAN
 
 
 
 
4,896,613.94

4,938,405.05

4,911,392.39

4,901,812.28

36,592.77

882.93



0.72

0.721

MON

(0.19
)
56,626.58

3/5/2010

2/25/2048

254683AT2

DCENT ABS 12-A1
 
 
 
 
652,082.03

652,014.99

650,000

651,610.53

404.46

(359.7
)


2.382

2.756

MON

0.64

1,316.25

4/2/2007

9/1/2033

254683AC9

DCENT_07-A1 ABS 07-A1 A1
 
 
 
 
5,448,691.41

5,145,435.09

4,500,000

5,135,648.87

9,786.22

(41,451.06
)


2.525

2.625

MON

1.2

63,562.5

4/2/2007

11/1/2034






254683AW5

DCENT_12-A4 ABS 12-A4
 
 
 
 
4,000,000

3,995,960.08

4,000,000

4,000,000

(4,039.92
)



2.525

2.684

MON

0.68

5,505.37

9/17/2008

10/1/2034

254683BB0

DCENT_13 ABS 13
 
 
 
 
8,500,000

8,454,524.66

8,500,000

8,500,000

(45,475.34
)



2.525

2.628

MON

1.26

10,194.87

4/3/2007

11/1/2034

23311VAC1

DCP MIDSTREAM PARTNERS LP SENIOR CORP
 
 
 
 
2,956,525.25

2,976,326.67

2,975,000

2,960,368.57

15,958.1

890.08



2.525

2.626

MON

2.49

37,187.5

4/2/2007

11/1/2034

BRSBGXH81

DEL MONTE FOODS CO TERM LOAN
 
 
 
 
4,051,531.21

4,104,334.13

4,091,935.56

4,063,210.55

41,123.58

1,635.79



2.41

1.368

MON

(0.07
)
41,828.67

3/8/2011

4/1/2035

L2465BAG1

DELTA 2 (LUX) SARL SENIOR SECURED TERM
 
F

 
 
2,192,234.1

2,224,974.4

2,203,250.35

2,192,907.74

32,066.66

657.31



2.508

3.037

MON

(2.02
)
49,083.73

5/31/2006

12/1/2035

BRSG1PVM6

DELTA AIR LINES INC SENIOR SECURED TERM
 
 
 
 
2,700,175.5

2,739,396.23

2,727,450

2,705,144.18

34,252.05

1,226.21



2.454

2.569

MON

(0.09
)
28,003.8

2/22/2012

12/1/2033

BRSBWG6S8

DELTA AIR LINES INC TERM LOAN
 
 
 
 
4,306,907.72

4,383,241.73

4,369,957.06

4,333,005.84

50,235.89

3,071.78



2.619

2.676

MON

(0.09
)
78,330.11

11/13/2006

5/1/2036

2515A0Q30

DEUTSCHE BK LDN CORP BND
 
F

 
 
2,076,360

2,041,500

2,000,000

2,040,283.54

1,216.46

(15,932.36
)


6

5.438

MON

0.57


11/2/2007

9/1/2037

25215BAB9

DEXIA CREDIT LOCAL/NEW YORK CORP BND
 
 
 
 
4,997,000

4,997,150.05

5,000,000

4,997,149.2

0.85

149.2



6

4.658

MON

0.64


2/4/2009

9/1/2037

25215BAA1

DEXIA CREDIT LOCAL/NEW YORK SENIOR CORP
 
 
 
 
9,972,700

10,007,300.6

10,000,000

9,974,543.76

32,756.84

1,843.76



6

4.661

MON

1.22


2/4/2009

9/1/2037

25243YAT6

DIAGEO CAPITAL PLC SENIOR CORP BND
 
F

 
 
2,485,750

2,410,970.7

2,500,000

2,487,625.87

(76,655.17
)
702.27



6

5.412

MON

1.99

14,062.5

11/2/2007

9/1/2037

25243YAS8

DIAGEO CAPITAL PLC SENIOR CORP BND
 
F

 
 
6,987,120

6,953,235.24

7,000,000

6,989,999.29

(36,764.05
)
1,076.63



6

5.469

MON

0.92

21,875

11/2/2007

9/1/2037

25243YAR0

DIAGEO CAPITAL PLC SENIOR CORP BND
 
F

 
 
9,444,640

9,403,727.11

9,400,000

9,433,926.42

(30,199.31
)
(2,507.8
)


6

4.713

MON

4.46

70,500

2/4/2009

9/1/2037

25459HAV7

DIRECTV HOLDINGS LLC CORP BND
 
 
 
 
5,665,268.75

5,752,408.45

5,525,000

5,612,481.79

139,926.66

(10,099.38
)


6

4.549

MON

2.31


2/4/2009

9/1/2037

25459HBE4

DIRECTV HOLDINGS LLC SENIOR CORP BND
 
 
 
 
2,996,986.1

3,058,825.38

3,000,000

2,998,005.08

60,820.3

152.18



6

4.711

MON

1.77


2/4/2009

4/1/2037

25459HAY1

DIRECTV HOLDINGS LLC SENIOR CORP BND
 
 
 
 
9,374,202.75

9,170,797.02

8,745,000

9,152,406.27

18,390.75

(47,151.34
)


6

4.596

MON

3.65


2/4/2009

9/1/2037

254683BA2

DISCOVER CARD MASTER TRUST DCE ABS_13-A2
 
 
 
 
11,553,284.09

11,520,912.98

11,555,000

11,553,719.1

(32,806.12
)
123.46



5.5

6.308

MON

3.27

19,932.39

4/9/2007

2/1/2037

BRSE9BR07

DJO FINANCE LLC/DJO FINANCE CO SECURED
 
 
 
 
534,600

539,614.55

534,600

534,600

5,014.55




6

4.663

MON

(4.16
)
6,505.83

2/4/2009

7/1/2037

25600WAB6

DNB BOLIGKREDITT AS CORP BND 144A
 
F

 
 
8,395,963

8,573,919.84

8,200,000

8,318,018.24

255,901.6

(13,117.56
)


6

4.802

MON

0.84


2/4/2009

7/1/2038

25600WAA8

DNB BOLIGKREDITT AS CORP BND 144A
 
F

 
 
9,671,647.51

9,849,696.57

9,600,000

9,630,751.29

218,945.28

(4,303.18
)


6.5

5.373

MON

1.27

100,800

11/6/2007

10/1/2037

257375AA3

DOMINION GAS HOLDINGS LLC SENIOR CORP
 
 
 
 
4,998,200

4,983,907.3

5,000,000

4,998,312.41

(14,405.11
)
112.41



5.5

5.392

MON

1.17


3/30/2007

1/1/2022

BRSHU3AD4

DONCASTERS FINANCE US LLC SENIOR SECURED
 
 
 
 
712,366.87

726,455.91

719,562.5

713,043.79

13,412.12

277.72



5

1.959

MON

(3.44
)
10,139.33

7/17/2013

10/1/2020

26138EAM1

DR PEPPER SNAPPLE GROUP INC CORP BND
 
 
 
 
1,423,418.25

1,486,410.73

1,425,000

1,424,330.33

62,080.4

79.26



5

2.104

MON

0.77


11/10/2011

11/1/2019

BRSCC0RV3

DUCOMMUN INC TERM LOAN
 
 
 
 
304,060.26

307,899.42

307,131.59

305,335.17

2,564.25

238.31



4

2.106

MON

(1.03
)
3,927.72

12/13/2013

7/1/2026

264399EM4

DUKE ENERGY CORP CORP BND
 
 
 
 
5,868,267.8

5,489,251.45

5,095,000

5,476,580.69

12,670.76

(54,741.65
)


6

1.664

MON

1.67

135,017.5

3/1/2013

3/1/2024

26441CAE5

DUKE ENERGY CORP CORP BND
 
 
 
 
1,052,000

1,030,556

1,000,000

1,030,792.88

(236.88
)
(6,207.74
)


4

2.982

MON

0.89

16,750

11/19/2013

10/1/2028

263901AE0

DUKE ENERGY INDIANA INC SECURED CORP BND
 
 
 
 
585,000

585,887.24

585,000

585,000

887.24




6.5

5.534

MON

0.54

925.55

10/31/2007

7/1/2037

BRSGEJ3J4

E_CARAT_12 ABS CARAT
 
D

 
 
412,791.73

425,433.68

256,799.11

412,791.73

12,641.95



12,531.8

2.542

2.812

MON

1.3

1,512.38

12/13/2005

3/1/2035

273323AA3

EAST LANE RE LTD CORP BND
 
F

 
 
5,000,000

5,033,700

5,000,000

5,000,000

33,700




4

2.519

MON

5.46

72,679.75

8/2/2011

8/1/2026

277432AM2

EASTMAN CHEMICAL COMPANY SENIOR CORP BND
 
 
 
 
822,228

836,175.76

825,000

823,065.52

13,110.24

136.23



4

2.601

MON

3.98

9,900

8/2/2011

7/1/2026

278062AB0

EATON CORPORATION SENIOR CORP BND
 
 
 
 
1,173,959.42

1,160,358.85

1,175,000

1,173,997.65

(13,638.8
)
38.23



2.407

2.593

MON

3.68

(293.75
)
8/10/2007

4/1/2037

278642AB9

EBAY INC. CORP BND
 
 
 
 
6,110,519.26

6,178,570.74

6,058,000

6,098,964.89

79,605.85

(5,769.31
)


2.508

2.213

MON

2.02

49,221.25

1/4/2008

10/1/2036

278642AG8

EBAY INC. SENIOR CORP BND
 
 
 
 
6,367,171.65

6,276,670.61

6,300,000

6,350,751.81

(74,081.2
)
(3,515.91
)


2.781

2.157

MON

7.29


3/9/2012

12/1/2036

281379AA5

EDUSA_10-1 ABS 10-1-A1 144A
 
 
 
 
525,612.31

532,195.08

525,612.31

525,612.31

6,582.77




6

4.67

MON

0.83

1,587.92

2/4/2009

1/1/2039






BRSHSVGM9

EDWARDS (CAYMAN ISLANDS II) LT SENIOR
 
F

 
 
2,003,986.29

2,024,856.08

2,024,228.57

2,006,002.17

18,853.91

3,362.28



6

4.594

MON

(0.14
)
34,472.04

2/4/2009

7/1/2037

29372EAT5

EFF_12-2 SENIOR ABS 12-2 A3 144A
 
 
 
 
660,592.97

658,422.61

660,000

660,575.13

(2,152.52
)
(17.84
)


6

4.895

MON

1.04

477.4

2/4/2009

1/1/2039

BRSL8UB98

EFS COGEN HOLDINGS I LLC SENIOR SECURED
 
 
 
 
3,979,800

4,042,632.6

4,020,000

3,980,019.11

62,613.49

219.11



6

4.975

MON

(0.63
)
7,158.9

2/4/2009

1/1/2039

263534BQ1

EI DU PONT DE NEMOURS & CO CORP BND
 
 
 
 
2,202,898

2,127,745.17

1,900,000

2,134,230.47

(6,485.3
)
(19,623.78
)


6

5.131

MON

1.12

49,875

2/4/2009

1/1/2039

263534CH0

EI DU PONT DE NEMOURS & CO CORP BND
 
 
 
 
4,641,510

4,144,388.52

4,640,000

4,140,000

4,388.52

(571.7
)


6

4.85

MON

0.42

7,951.21

2/4/2009

1/1/2039

28140DAA1

ELAB_12-1 ABS 12-1
 
 
 
 
2,628,422.42

2,627,681.21

2,628,422.42

2,628,422.42

(741.21
)



6

4.719

MON

2.49

7,488.84

2/4/2009

1/1/2039

268317AA2

ELECTRICITE DE FRANCE SA CORP BND 144A
 
F

 
 
9,449,250

8,623,108.03

8,600,000

8,615,013.56

8,094.47

(55,249.9
)


2.352

2.43

MON

3.18


8/10/2006

9/1/2032

29079DAB2

EMBARCADERO REINSURANCE LTD CORP BND
 
F

 
 
6,500,000

6,726,785

6,500,000

6,500,000

226,785




2.969

1.448

MON

2.85

81,924.91

4/22/2013

5/1/2042

268648AP7

EMC CORP SENIOR CORP BND
 
 
 
 
1,998,860

1,978,789.22

2,000,000

1,998,983.24

(20,194.02
)
54.64



3

1.495

MON

4.26

18,229.16

2/13/2013

10/1/2022

BRSBYALT0

EMERGENCY MEDICAL SVCS CORP TERM LOAN
 
 
 
 
5,630,019.51

5,670,080.22

5,658,310.94

5,638,640.28

31,439.94

1,173.3



3.5

2.779

MON

(0.05
)
57,795.89

2/3/2012

12/1/2041

BRSLJ8BU8

ENDO LUXEMBOURG FINANCE I COMP SENIOR
 
F

 
 
144,275

145,241.72

145,000

144,275

966.72




2.363

2.712

MON

(0.38
)

2/22/2012

9/1/2033

29268BAD3

ENEL FINANCE INTERNATIONAL NV CORP BND
 
F

 
 
1,241,598.75

1,250,996.4

1,225,000

1,227,998.07

22,998.33

(979.32
)


2.375

1.44

MON

1.09

23,734.38

11/16/2009

7/1/2033

BRSECN1K1

ENNIS-FLINT SENIOR SEC TERM NOTES
 
 
 
 
2,691,700.1

2,722,759.36

2,709,213.29

2,696,571.07

26,188.29

747.23



2.442

2.747

MON

(0.12
)
43,272.16

1/9/2006

1/1/2034

BRSDALFV0

ENTERCOM RADIO LLC TERM LOAN
 
 
 
 
935,318.53

959,178.69

954,406.66

940,984.45

18,194.24

1,086.28



2.232

2.344

MON

(0.1
)
8,569.25

4/2/2007

10/1/2034

29372EAZ1

ENTERPRISE FLEET FINANCING LLC
 
 
 
 
299,978.79

301,136.99

300,000

299,981.58

1,155.41

2.37



2.375

2.486

MON

1.37

1,132.5

4/2/2007

11/1/2034

29372EAY4

ENTERPRISE FLEET FINANCING LLC ABS
 
 
 
 
2,599,593.36

2,604,238.05

2,600,000

2,599,670.53

4,567.52

65.79



2.456

2.71

MON

1

6,890.01

9/30/2008

1/1/2035

293791AN9

ENTERPRISE PRODUCTS OPERATING CORP BND
 
 
 
 
1,193,423

1,142,449

1,100,000

1,141,569.3

879.7

(13,320.67
)


2.398

2.529

MON

1.37

30,800

4/2/2007

2/1/2035

293791AR0

ENTERPRISE PRODUCTS OPERATING CORP BND
 
 
 
 
4,324,320

4,190,536

4,000,000

4,194,822.88

(4,286.88
)
(42,359.7
)


2

0.888

MON

1.77


9/6/2012

3/25/2041

29379VAX1

ENTERPRISE PRODUCTS OPERATING SENIOR
 
 
 
 
2,651,676.5

2,668,861.67

2,650,000

2,650,910.23

17,951.44

(150.47
)


0.415

0.427

MON

0.81

3,576.39

8/13/2013

2/25/2043

BRSJGG5M3

ENTRAVISION COMMUN CORP SENIOR SECURED
 
 
 
 
2,738,137.5

2,691,945.12

2,738,137.5

2,738,137.5

(46,192.38
)



5.5

5.373

MON

0.26

24,592.23

7/17/2008

2/1/2022

BRSC4H8Q7

EPICOR SOFTWARE CORP TERM LOAN
 
 
 
 
6,402,883.73

6,492,468.75

6,468,212.95

6,424,307.8

68,160.95

3,205.34



5.5

3.125

MON

(0.08
)
75,410.92

9/29/2009

6/1/2022

BRSJD01Z6

EQUIPOWER RESOURCES HOLDINGS L SENIOR
 
 
 
 
2,030,934.26

2,041,114.38

2,036,024.32

2,031,133.67

9,980.71

162.41



0.517

0.428

MON

(0.04
)
16,738.46

6/18/2013

6/15/2028

L0594VKM1

EUROPEAN INVESTMENT BANK CORP BND EMTN
 
D

 
 
837,356.42

830,458.94

450,000

835,833.96

(5,375.02
)
(1,522.46
)

9,286.77

0.567

0.388

MON

2.2

(4,796.34
)
11/9/2012

11/15/2040

BRS9ND148

EUROPEAN INVESTMENT BANK CORP BND
 
D

 
 
3,751,325.26

4,100,527.59

2,380,000

3,715,674.6

384,852.99

(5,343.83
)

295,338.36

6

1.809

MON

0.89

83,402.51

1/5/2011

3/1/2033

298785GC4

EUROPEAN INVESTMENT BANK CORP BND
 
F

 
 
4,970,000

4,849,050.15

5,000,000

4,974,013.68

(124,963.53
)
1,428.86



0.517

0.358

MON

1.71

25,000

11/5/2013

9/15/2038

298785FB7

EUROPEAN INVESTMENT BANK CORP BND
 
F

 
 
15,739,300

15,399,450

15,000,000

15,376,839.45

22,610.55

(90,466.04
)


0.317

0.313

MON

0.61


2/20/2013

3/15/2026

298785FV3

EUROPEAN INVESTMENT BANK SENIOR CORP BND
 
F

 
 
10,154,000

10,104,300

10,000,000

10,096,456.87

7,843.13

(18,899.45
)


5.5

1.4

MON

0.32

56,250

1/25/2012

5/1/2033

BRSL801J3

EW SCRIPPS CO SENIOR SECURED TERM NOTES
 
 
 
 
758,100

760,000

760,000

758,100

1,900




5

5.223

MON



12/14/2007

6/1/2018

BRSL2KC12

EXCELITAS TECHNOLOGIES COR SENIOR
 
 
 
 
6,117,816.45

6,205,381.55

6,179,612.57

6,118,475.01

86,906.54

813.44



2.35

2.531

MON

(0.5
)
26,845.4

4/2/2007

7/1/2033

30216BCD2

EXPORT DEVELOPMENT CANADA CORP BND
 
A

 
 
5,212,650

5,136,050

5,000,000

5,131,960.84

4,089.16

(23,533.24
)


4

1.918

MON

0.31

56,250

12/17/2013

2/1/2026

31398SKX0

FANNIE MAE FNMA_10-142 AGENCY CMO 10-142
 
 
 
 
1,016,361.49

1,011,351.16

1,013,826.92

1,016,435.49

(5,084.33
)
(344.21
)


3.5

2.415

MON

1.31

1,770.17

8/3/2011

8/1/2026

34529XAD0

FCALT_12-B ABS 12-B
 
 
 
 
8,011,562.5

8,006,400.16

8,000,000

8,004,091.44

2,308.72

(2,072.05
)


4.5

2.535

MON

0.48

11,400

9/20/2011

9/1/2041

31331KHV5

FED FARM CR BKS AGENCY BND
 
 
 
 
1,348,758.5

1,351,254.87

1,350,000

1,349,493.58

1,761.29

55.27



3

1.921

MON

0.39

830.91

4/24/2012

5/1/2027

3133ECUQ5

FED FARM CR BKS AGENCY BND
 
 
 
 
1,499,805

1,499,998.98

1,500,000

1,499,840.37

158.61

19.61



4.5

3.301

MON

0.35

695.74

12/12/2013

1/1/2027






31331K2T6

FED FARM CR BKS AGENCY BND
 
 
 
 
1,800,000

1,802,024.33

1,800,000

1,800,000

2,024.33




3

1.904

MON

0.09

1,570

4/24/2012

3/1/2027

3133EAYZ5

FED FARM CR BKS AGENCY BND
 
 
 
 
2,524,312.44

2,526,392.56

2,525,000

2,524,686.47

1,706.09

65.06



3

1.679

MON

0.15

1,266.88

8/7/2012

8/1/2027

3133EA5D6

FED FARM CR BKS AGENCY BND
 
 
 
 
4,498,920

4,502,308.5

4,500,000

4,499,412.67

2,895.83

113.22



4

2.66

MON

0.15

2,180.94

2/27/2013

4/1/2041

3133EA5A2

FED FARM CR BKS AGENCY BND
 
 
 
 
5,000,000

4,881,781

5,000,000

5,000,000

(118,219
)



3

1.982

MON

1.51

21,750

4/24/2012

3/1/2027

3133EAVE5

FED FARM CR BKS AGENCY BND
 
 
 
 
6,497,855

6,503,855.02

6,500,000

6,498,828.07

5,026.95

200.7



4

2.181

MON

0.29

3,164.13

3/22/2013

10/1/2041

BRSHSQTZ7

FENDER MUSICAL INSTRUMENTS COR SENIOR
 
 
 
 
1,306,923.75

1,339,108.4

1,320,125

1,308,455.35

30,653.05

1,479.29



3.5

2.001

MON

(5.82
)
20,569.39

1/24/2013

5/1/2027

313383V81

FHLB AGENCY BND
 
 
 
 
1,499,940

1,501,544.96

1,500,000

1,499,951.31

1,593.65

7.32



3.5

2.306

MON

0.62


2/25/2013

1/1/2043

313383BB6

FHLB AGENCY BND
 
 
 
 
1,992,600

1,994,240

2,000,000

1,993,280.13

959.87

680.13



2.5

1.635

MON

0.67

1,833.33

9/6/2012

9/1/2027

313383QF1

FHLB AGENCY BND
 
 
 
 
2,000,060

2,000,415.74

2,000,000

2,000,033.92

381.82

(19.81
)


3.5

1.347

MON

0.15

654.44

5/13/2013

9/1/2022

313382K85

FHLB AGENCY BND
 
 
 
 
2,997,150

2,990,730.06

3,000,000

2,997,896.7

(7,166.64
)
240.57



3

1.771

MON

1.18


3/13/2013

8/1/2027

3130A0C65

FHLB AGENCY BND
 
 
 
 
5,040,205

5,023,487.4

5,050,000

5,040,552.06

(17,064.66
)
347.06



3.5

1.321

MON

3.21

2,846.36

5/13/2013

8/1/2022

3133XWE70

FHLB AGENCY BND
 
 
 
 
7,454,591.35

7,472,943.3

7,395,000

7,409,504.42

63,438.88

(8,140.92
)


3

1.584

MON

0.31

92,437.5

4/29/2013

3/1/2028

313371PC4

FHLB UNSEC AGENCY BND
 
 
 
 
2,524,200

2,515,850

2,500,000

2,509,253.55

6,596.45

(2,456.44
)


3

2.078

MON

0.2

10,937.5

10/23/2013

10/1/2028

3134G4FL7

FHLMC AGENCY BND
 
 
 
 
499,750

499,910.01

500,000

499,792.63

117.38

31.13



5

1.435

MON

0.52


3/7/2013

8/15/2019

3134G3LA6

FHLMC AGENCY BND
 
 
 
 
2,100,663.18

2,100,903

2,100,000

2,100,049.51

853.49

(79.92
)


5.5

5.252

MON

0.1


12/20/2007

2/25/2035

3134G36F2

FHLMC AGENCY BND
 
 
 
 
2,130,000

2,129,552.61

2,130,000

2,130,000

(447.39
)



3

2.094

MON

0.43


10/23/2013

10/1/2028

3134G4LB2

FHLMC AGENCY BND
 
 
 
 
2,270,454

2,260,919.95

2,270,000

2,270,366.6

(9,446.65
)
(87.4
)


5.5

5.684

MON

2.97


6/17/2008

5/15/2034

3134G3NL0

FHLMC AGENCY BND
 
 
 
 
4,993,000

5,001,786.05

5,000,000

4,997,311.05

4,475

584.12



5.5

0.204

MON

0.26


11/16/2012

7/25/2034

3137EACY3

FHLMC AGENCY BND
 
 
 
 
5,000,300

5,024,750

5,000,000

5,000,091.31

24,658.69

(25.48
)


0.317

0.39

MON

0.2

18,750

4/23/2010

2/15/2033

3137EADQ9

FHLMC AGENCY BND
 
 
 
 
5,276,683.38

5,270,667.44

5,277,000

5,276,761.48

(6,094.04
)
25.28



0.317

0.313

MON

1.65

13,192.5

7/22/2011

10/15/2020

3134G36A3

FHLMC AGENCY BND
 
 
 
 
6,750,000

6,739,132.3

6,750,000

6,750,000

(10,867.7
)



3

1.626

MON

1.34


4/29/2013

3/1/2028

3134G3J76

FHLMC AGENCY BND
 
 
 
 
7,002,107

7,010,710.56

7,000,000

7,001,192.43

9,518.13

(180.61
)


6.5

5.194

MON

0.36


1/14/2008

7/25/2034

3137EACH0

FHLMC AGENCY BND
 
 
 
 
8,563,258.24

8,232,640

8,000,000

8,192,114.86

40,525.14

(43,223.59
)


0.365

0.396

MON

0.24


3/23/2011

1/25/2037

3134G2UA8

FHLMC AGENCY BND
 
 
 
 
11,107,050

11,057,638.9

11,000,000

11,025,526.17

32,112.73

(10,011.37
)


3

2.509

MON

0.18


11/26/2013

11/1/2028

3134G4ET1

FHLMC AGENCY BND MTN
 
 
 
 
4,996,750

4,998,099.9

5,000,000

4,997,160.64

939.26

269.85



0.367

0.341

MON

2.59


2/28/2013

11/15/2036

31396UWM8

FHLMC AGENCY CMO 3184 FA
 
 
 
 
351,048.37

351,432.75

351,432.75

351,362.67

70.08

77.01



5

5.057

MON

0.32

366.45

7/29/2008

10/25/2022

31398WV35

FHLMC AGENCY CMO 3654
 
 
 
 
100,234.25

100,117.5

93,404.08

98,051.45

2,066.05

(1,012.69
)


5

2.847

MON

3.95

1,244.54

6/1/2009

9/15/2022

31396CLF5

FHLMC AGENCY CMO_3054 DW
 
 
 
 
21,369.47

21,962.23

21,449.92

21,396.54

565.69

18.84



5.5

2.049

MON

4.14

351.36

11/20/2013

4/15/2040

3133TJP56

FHLMC CMO AGENCY CMO_2130 QS
 
 
 
 
1,084,905.25

1,184,452.02

1,069,860.35

1,082,850.83

101,601.19

(540.29
)


0.635

0.493

MON

4.47

16,625.32

8/15/2013

12/25/2040

31395EC47

FHLMC CMO_2839 TS
 
 
 
 
1,266,577.29

1,261,078.91

1,178,896.83

1,255,699.52

5,379.39

(11,227.5
)


0.565

0.587

MON

2.47

15,724.3

9/3/2013

10/25/2040

31397Y5H0

FHLMC CMO_3484 DA
 
 
 
 
589,090.61

578,802.99

566,263.1

571,221.55

7,581.44

(4,372.69
)


5

1.276

MON

13.35

8,668.63

2/1/2012

11/15/2028

3137A7SR2

FHLMC CMO_3824 FA
 
 
 
 
3,702,456.63

3,688,147.3

3,702,167.4

3,702,412.97

(14,265.67
)
(40.42
)


5

5.227

MON

0.76

3,236.3

12/14/2007

3/1/2018

3128KWBZ5

FHLMC GOLD POOL # A65456
 
 
 
 
14,205.77

15,467.99

13,671.73

14,184.32

1,283.67

(50.42
)


2.392

2.562

MON

4.72

212.35

8/10/2006

1/1/2033

3128KWFX6

FHLMC GOLD POOL # A65582
 
 
 
 
30,964.84

33,716.13

29,800.75

30,918.39

2,797.74

(12.85
)


2.409

2.588

MON

4.73

450.44

4/2/2007

3/1/2033






3128KWFY4

FHLMC GOLD POOL # A65583
 
 
 
 
30,985.23

33,738.35

29,820.39

30,938.27

2,800.08

(97.34
)


5

5.229

MON

4.73

467.15

12/14/2007

4/1/2018

3128KWNV1

FHLMC GOLD POOL # A65804
 
 
 
 
840,851.32

935,719.92

831,304.31

840,414.7

95,305.22

(59.84
)


5

5.226

MON

4.78

12,522.51

12/14/2007

4/1/2018

3128KWNX7

FHLMC GOLD POOL # A65806
 
 
 
 
1,156,977.9

1,287,513.32

1,143,841.6

1,156,382.88

131,130.44

(77.9
)


2.342

2.607

MON

4.79

17,214.92

8/10/2006

4/1/2033

3128KWTK9

FHLMC GOLD POOL # A65954
 
 
 
 
36,804.62

40,074.77

35,420.98

36,749.38

3,325.39

(156.21
)


2.55

0.975

MON

4.74

557.71

2/23/2012

5/1/2033

3128KWTP8

FHLMC GOLD POOL # A65958
 
 
 
 
28,328.58

30,845.65

27,263.61

28,287.14

2,558.51

(83.44
)


5

5.252

MON

4.73

435.02

7/17/2008

11/1/2019

3128KWTZ6

FHLMC GOLD POOL # A65968
 
 
 
 
26,855.44

29,241.58

25,845.82

26,815.57

2,426.01

(51.32
)


2.33

2.527

MON

4.73

407.25

9/17/2008

7/1/2035

3128KWT29

FHLMC GOLD POOL # A65969
 
 
 
 
23,618.55

25,717.11

22,730.64

23,583.27

2,133.84

(48.57
)


2.529

2.656

MON

4.73

359.37

9/28/2006

3/1/2035

3128KW5Q2

FHLMC GOLD POOL # A66255
 
 
 
 
632,702.61

697,938.99

625,518.92

632,374.98

65,564.01

(43.39
)


5

3.029

MON

4.87

9,416.82

4/30/2010

6/1/2035

3128KYXE4

FHLMC GOLD POOL # A67877
 
 
 
 
24,380.37

26,546.63

23,463.83

24,342.21

2,204.42

(9.12
)


2.625

3.078

MON

4.71

354.5

4/2/2007

9/1/2033

312929CM2

FHLMC GOLD POOL # A82776
 
 
 
 
9,677.62

10,537.26

9,313.79

9,664.09

873.17

(29.96
)


5

5.218

MON

4.78

144.08

12/14/2007

4/1/2019

312930LH1

FHLMC GOLD POOL # A83928
 
 
 
 
18,781.71

20,450.07

18,075.63

18,753.74

1,696.33

(3.87
)


5

5.205

MON

4.79

272.14

12/14/2007

12/1/2019

312930LQ1

FHLMC GOLD POOL # A83935
 
 
 
 
45,110.39

49,117.49

43,414.51

45,040.6

4,076.89

(52.86
)


5

5.218

MON

4.79

671.02

12/14/2007

11/1/2018

312930RC6

FHLMC GOLD POOL # A84083
 
 
 
 
23,705.08

25,806.96

22,813.92

23,663.16

2,143.8

(65.27
)


2.415

2.609

MON

4.78

361.19

5/15/2006

11/1/2033

312930RV4

FHLMC GOLD POOL # A84100
 
 
 
 
12,237.93

13,325.04

11,777.88

12,219.92

1,105.12

(24.7
)


2.199

2.448

MON

4.78

180.14

4/2/2007

12/1/2033

312930TB6

FHLMC GOLD POOL # A84146
 
 
 
 
12,720.1

13,847.98

12,241.92

12,702.25

1,145.73

(2.52
)


5

5.226

MON

4.78

184.17

12/14/2007

1/1/2019

31292KJH1

FHLMC GOLD POOL # C02964
 
 
 
 
1,884.74

2,052.2

1,813.88

1,881.91

170.29

(2.28
)


2.397

2.846

MON

4.72

27.85

9/30/2008

6/1/2034

3128M4HY2

FHLMC GOLD POOL # G02647
 
 
 
 
665,341.99

736,825.13

674,511.12

665,675.75

71,149.38

1,297.54



2.383

2.658

MON

4.59

10,149.81

8/10/2006

2/1/2034

3128M4ZG1

FHLMC GOLD POOL # G03143
 
 
 
 
3,641.12

3,964.61

3,504.21

3,635.56

329.05

(9.97
)


2.434

2.576

MON

4.72

55.2

4/2/2007

2/1/2035

3128M5HK9

FHLMC GOLD POOL # G03534
 
 
 
 
5,924,990.14

6,471,506.31

5,765,536.95

5,918,313.61

553,192.7

(17,870.84
)


2.389

2.54

MON

5.28

100,933.28

2/24/2006

7/1/2034

3128M6UB2

FHLMC GOLD POOL # G04778
 
 
 
 
86,299.96

93,965.89

83,055.6

86,170.84

7,795.05

(124.9
)


2.083

2.039

MON

4.76

1,277.71

6/30/2007

10/1/2034

3128M7AZ9

FHLMC GOLD POOL # G05124
 
 
 
 
226,016.89

246,093.72

217,520.02

225,686.73

20,406.99

(640.29
)


2.194

2.312

MON

4.78

3,429.03

4/2/2007

10/1/2034

3128MBBR7

FHLMC GOLD POOL # G12548
 
 
 
 
670,339.47

729,843.47

668,876.32

669,730.62

60,112.85

(77.39
)


1.985

1.945

MON

3.19

9,765.31

6/30/2007

11/1/2034

3128MBU70

FHLMC GOLD POOL # G13106
 
 
 
 
882,597.69

877,822.08

822,934.91

879,720.18

(1,898.1
)
(6,798.64
)


2.113

2.242

MON

2.99

10,947.04

4/2/2007

11/1/2034

3128MCRQ0

FHLMC GOLD POOL # G13895
 
 
 
 
2,646,916.81

2,615,778.95

2,458,674.54

2,609,052.19

6,726.76

(19,397.04
)


2.241

2.368

MON

2.78

32,745.41

4/2/2007

1/1/2035

3128MDCL5

FHLMC GOLD POOL # G14375
 
 
 
 
224,974.29

223,293.17

211,398.54

224,829.12

(1,535.95
)
(145.17
)


2.214

2.342

MON

3.06

(375.82
)
4/2/2007

12/1/2034

3128MDM91

FHLMC GOLD POOL # G14684
 
 
 
 
2,213,724.18

2,145,206.64

2,105,019.65

2,206,019.16

(60,812.52
)
(6,490.47
)


2.316

2.444

MON

2.56

16,243.32

4/2/2007

1/1/2035

3128MDNM1

FHLMC GOLD POOL # G14696
 
 
 
 
1,148,869.45

1,132,947.91

1,034,726.2

1,143,603.15

(10,655.24
)
(12,395.48
)


2.424

2.56

MON

4.06

16,512.26

4/2/2007

1/1/2035

3128MDVW0

FHLMC GOLD POOL # G14929
 
 
 
 
920,378.9

912,734.05

858,193.41

919,868.19

(7,134.14
)
(1,040.66
)


2.42

2.524

MON

9.28

865.51

4/2/2007

11/1/2034

3128MTB72

FHLMC GOLD POOL # H00962
 
 
 
 
149,228.11

161,361.46

146,358.14

149,104.48

12,256.98

(134.84
)


2.431

2.532

MON

5.46

2,455.16

9/28/2006

2/1/2035

3128MTEE4

FHLMC GOLD POOL # H01033
 
 
 
 
2,420,451.04

2,617,251.17

2,373,900.33

2,418,372.33

198,878.84

(8,004.06
)


2.237

2.354

MON

5.46

42,967.37

4/2/2007

3/1/2035

3128MTF29

FHLMC GOLD POOL # H01085
 
 
 
 
108,677.21

117,513.45

106,587.1

108,573.43

8,940.02

(18.7
)


2.381

2.498

MON

5.46

1,738.62

9/28/2006

2/1/2035

3128PVWH9

FHLMC GOLD POOL # J16048
 
 
 
 
6,928,092.23

6,999,646.22

6,558,170.44

6,892,780.51

106,865.71

(14,103.08
)


2.685

2.832

MON

8.64

66,986.08

4/2/2007

4/1/2035

3128PV4J6

FHLMC GOLD POOL # J16225
 
 
 
 
2,230,756.93

2,253,796.38

2,111,646.84

2,220,101.74

33,694.64

(5,457.5
)


2.39

1.891

MON

2.89

21,674.76

12/4/2009

3/1/2035

31306YAL5

FHLMC GOLD POOL # J20911
 
 
 
 
2,041,102.23

1,993,267.85

1,940,297.72

2,033,822.58

(40,554.73
)
(4,513.94
)


2.472

2.633

MON

2.35

14,827.83

4/2/2007

5/1/2035






3132GLQP2

FHLMC GOLD POOL # Q05262
 
 
 
 
3,800,314.66

3,649,590.11

3,672,356

3,796,843.3

(147,253.19
)
(2,873.67
)


2.502

2.19

MON

3.57

32,615.3

2/20/2009

6/1/2035

3128JLHB8

FHLMC POOL # 1B1225
 
 
 
 
47,067.04

49,582.14

47,798.33

47,102.99

2,479.15

60.64



2.243

2.963

MON

1.96

305.6

3/16/2006

8/1/2035

3128JMW45

FHLMC POOL # 1B2566
 
 
 
 
67,622.12

71,984.36

68,153.72

67,652.86

4,331.5

8.73



2.562

2.705

MON

1.94

467.4

1/20/2006

4/1/2035

3128JMXM4

FHLMC POOL # 1B2583
 
 
 
 
1,329,513.7

1,416,058.07

1,344,273.85

1,330,613.29

85,444.78

192.91



2.13

2.258

MON

1.96

9,246.89

5/12/2006

11/1/2035

3128JMY68

FHLMC POOL # 1B2632
 
 
 
 
78,788.26

86,353.39

79,407.65

78,822.32

7,531.07

63.88



2.612

2.718

MON

1.64

598.16

5/4/2006

3/1/2036

3128JMZG5

FHLMC POOL # 1B2642
 
 
 
 
122,759.52

130,098.18

123,724.59

122,814.03

7,284.15

63.52



5

5.209

MON

1.98

891.84

12/14/2007

8/1/2020

3128JNAL9

FHLMC POOL # 1B2810
 
 
 
 
152,684.64

164,032.02

154,273.64

152,770.88

11,261.14

14.33



2.243

2.264

MON

2.11

1,079.16

6/18/2007

5/1/2035

3128NCB37

FHLMC POOL # 1G0058
 
 
 
 
175,350.55

185,394.27

175,762.49

175,334.09

10,060.18

19.13



2.354

2.306

MON

2.09

1,217.62

6/18/2007

5/1/2033

3128NCD68

FHLMC POOL # 1G0125
 
 
 
 
1,519,619.19

1,628,267.35

1,552,116.63

1,523,426.36

104,840.99

3,680.42



2.439

2.884

MON

2.03

10,962.63

6/18/2007

4/1/2034

3128NCMS0

FHLMC POOL # 1G0369
 
 
 
 
248,144.68

259,297.79

246,910.14

247,942.68

11,355.11

(2.76
)


2.349

2.452

MON

1.85

1,614.96

2/22/2012

8/1/2033

3128QJLG9

FHLMC POOL # 1G1227
 
 
 
 
199,018.98

206,112.61

195,116.68

198,527.61

7,585

(42.98
)


1.79

1.99

MON

1.97

1,305.53

6/18/2007

6/1/2033

3128QJRN8

FHLMC POOL # 1G1393
 
 
 
 
1,207,286.14

1,213,035.53

1,158,803.52

1,204,545.29

8,490.24

(4,681.28
)


2.386

2.643

MON

2.32

8,715.89

6/18/2007

2/1/2035

3128QJ3B0

FHLMC POOL # 1G1694
 
 
 
 
1,272,574.6

1,360,268.86

1,291,697.79

1,274,087.67

86,181.19

213.18



2.518

2.816

MON

1.91

7,813.73

6/18/2007

3/1/2034

31342AZE2

FHLMC POOL # 780741
 
 
 
 
432,451.69

444,092.19

419,156.57

431,734.86

12,357.33

(930.26
)


2.291

2.489

MON

1.72

2,575.28

6/18/2007

12/1/2033

31342A6F1

FHLMC POOL # 780870
 
 
 
 
291,630.73

314,329.64

296,162

291,870

22,459.64

155.25



2.473

2.575

MON

1.7

1,807.89

6/18/2007

2/1/2034

31349SJK0

FHLMC POOL # 781166
 
 
 
 
615,541.23

659,944.07

625,733.85

616,304.6

43,639.47

303.29



2.539

2.574

MON

1.85

3,912.35

6/18/2007

4/1/2035

31349UCW6

FHLMC POOL # 782785
 
 
 
 
136,996.46

146,308.6

138,073.47

137,056.97

9,251.63

56.21



2.255

2.558

MON

1.62

802.37

6/18/2007

1/1/2035

31349UEJ3

FHLMC POOL # 782837
 
 
 
 
238,713.49

254,442.4

240,590.1

238,812.87

15,629.53

103.77



2.329

2.438

MON

1.78

1,478.53

6/18/2007

7/1/2033

31349UJL3

FHLMC POOL # 782967
 
 
 
 
79,169.7

85,079.87

80,362.59

79,244.52

5,835.35

41.07



5

3.857

MON

1.85

506.84

2/26/2009

10/1/2021

31349ULB2

FHLMC POOL # 783022
 
 
 
 
249,763.14

266,333.49

251,993.28

249,887.45

16,446.04

89.12



6.5

4.519

MON

1.81

1,561.94

1/25/2008

11/1/2037

31295NXK9

FHLMC POOL # 789682
 
 
 
 
29,341.36

30,827.17

29,510.82

29,349.53

1,477.64

1.43



6

(0.455
)
MON

1.83

175.4

10/23/2013

10/1/2040

3128JRJS6

FHLMC POOL # 847473
 
 
 
 
1,563,796.86

1,654,337.14

1,570,175.72

1,563,944.01

90,393.13

302.46



2.48

2.404

MON

1.82

9,500.91

12/13/2006

12/1/2036

3128JRKQ8

FHLMC POOL # 847503
 
 
 
 
744,953.62

811,317.53

762,771.5

745,945.53

65,372

772.05



2.4

2.271

MON

1.88

5,004.35

12/14/2006

1/1/2037

3128JRPZ3

FHLMC POOL # 847640
 
 
 
 
293,827.7

318,099.26

295,437.83

293,883.88

24,215.38

50.63



6

5.468

MON

1.88

1,970.1

3/29/2007

3/1/2037

3128JRP26

FHLMC POOL # 847641
 
 
 
 
452,237.63

478,539.91

455,884.7

452,459.61

26,080.3

177.46



5.5

3.193

MON

1.91

3,169.73

9/29/2009

7/1/2022

3128JR6Z4

FHLMC POOL # 848088
 
 
 
 
6,653,531.72

6,751,217.35

6,331,985.58

6,637,400.02

113,817.33

(13,741.81
)


2.42

1.241

MON

1.74

39,152.98

2/14/2012

10/1/2036

31300L3D5

FHLMC POOL # 848896
 
 
 
 
2,263,805.87

2,262,384.41

2,152,162.44

2,262,769.96

(385.55
)
(6,404.93
)


5.5

3.059

MON

2.55

16,553.75

9/29/2009

5/1/2022

3134G42Q0

FHLMC UNSECURED AGENCY BND
 
 
 
 
247,725

247,967.49

250,000

247,912.92

54.57

185.88



5.5

2.895

MON

0.89

750

10/21/2009

8/1/2022

3134G3W55

FHLMC UNSECURED AGENCY BND
 
 
 
 
249,972.5

250,067.5

250,000

249,982.3

85.2

2.34



5.5

2.985

MON

0.44

562.5

9/29/2009

6/1/2022

3137EADP1

FHLMC UNSECURED AGENCY BND
 
 
 
 
14,877,000

14,623,649.55

15,000,000

14,898,442.84

(274,793.29
)
6,038.31



5

3.009

MON

1.5


9/29/2009

3/1/2023

31397JRY2

FHLMC_3345 AGENCY CMO 3345
 
 
 
 
1,514,832.97

1,511,747.34

1,514,596.3

1,514,743.87

(2,996.53
)
(67.81
)


5

2.884

MON

1.15

1,592.45

9/29/2009

12/1/2022

31397JAB0

FHLMC_3346A AGNECY CMO_3335-AF
 
 
 
 
292,227.08

291,766.54

292,204.26

292,221.07

(454.53
)
(2.41
)


5

2.994

MON

0.36

253.46

9/29/2009

3/1/2023

31398Q4P9

FHLMC_3674 SENIOR AGENCY CMO 3674 HJ
 
 
 
 
2,005,422.59

1,976,957.39

1,795,063.59

2,004,010.46

(27,053.07
)
(3,525.55
)


5.5

2.936

MON

9.18

1,662.01

9/29/2009

12/1/2022

3137A63Z3

FHLMC_3792 AGENCY CMO 3792
 
 
 
 
3,810,577.65

3,794,909.57

3,784,558.8

3,807,641.04

(12,731.47
)
(2,028.73
)


5

2.83

MON

1.09

5,672.68

10/21/2009

12/1/2023






3137ACNE5

FHLMC_3879 CMO_3879 MF
 
 
 
 
396,421.2

395,320.53

394,878.7

396,413.6

(1,093.07
)
(63.82
)


5.5

3.088

MON

0.51

215.27

9/29/2009

3/1/2023

BRSKMVVS8

FIELDWOOD ENERGY LLC SENIOR SECURED TERM
 
 
 
 
1,086,801.19

1,098,936.22

1,092,262.5

1,087,047.62

11,888.6

260.12



5.5

6.803

MON

(2.79
)
471.45

7/25/2008

6/1/2038

BRSL992B9

FILTRATION GROUP CORP SENIOR SECURED
 
 
 
 
1,044,750

1,059,849

1,050,000

1,044,778.99

15,070.01

28.99



5

3.479

MON

(2.78
)

3/20/2009

12/1/2021

BRSJ16FK4

FIRST DATA CORP SENIOR SECURED TERM
 
 
 
 
3,491,508.09

3,501,960

3,500,000

3,491,799.96

10,160.04

291.87



5.5

3.037

MON

(0.2
)
24,719.14

9/29/2009

3/1/2024

BRSBT2DD8

FIRST DATA CORP TERM LOAN
 
 
 
 
5,487,000.56

5,689,638.14

5,685,715

5,543,738.04

145,900.1

7,909.87



5

2.995

MON

(0.02
)
59,958.86

10/21/2009

6/1/2023

33766QAA5

FIRSTENERGY OHIO PIRB SPECIAL ABS_13-1
 
 
 
 
499,999.5

499,785.01

500,000

499,998.56

(213.55
)
0.36



5.5

2.948

MON

0.69


10/21/2009

12/1/2023

BRSHG9BV6

FIRTH RIXSON LTD SENIOR SECURED TERM
 
F

 
 
495,000

495,990

495,000

495,000

990




5

2.061

MON

(0.06
)
6,630.45

11/10/2011

7/1/2019

337738AK4

FISERV INC CORP BND
 
 
 
 
789,567.5

780,829.13

750,000

781,231.88

(402.75
)
(3,140.24
)


4.5

2.673

MON

2.83

11,718.75

3/21/2013

4/1/2039

337738AH1

FISERV INC CORP BND
 
 
 
 
1,578,345

1,554,192.47

1,500,000

1,552,943.18

1,249.29

(7,587.85
)


5

2.913

MON

1.04

23,437.5

9/28/2009

6/1/2024

BRSG8UAX7

FLEETPRIDE INC SENIOR SECURED TERM LOAN
 
 
 
 
2,387,246.07

2,366,015.96

2,397,470.78

2,388,798.83

(22,782.87
)
704.01



3

1.624

MON

0.22

43,646.2

4/29/2013

4/1/2028

BRSFEV6K3

FLY FUNDING II SARL TERM NOTES
 
F

 
 
2,084,775

2,104,630

2,090,000

2,084,775

19,855




2.5

1.775

MON

(0.12
)

3/13/2013

3/1/2028

30249UAA9

FMC TECHNOLOGIES INC SENIOR CORP BND
 
 
 
 
349,184.5

345,774.99

350,000

349,385.22

(3,610.23
)
39.91



3

1.579

MON

2.34

3,500

4/29/2013

3/1/2028

30254WAB5

FMS WERTMANAGEMENT LT GTD SENIOR CORP
 
F

 
 
1,499,175

1,498,710.02

1,500,000

1,499,383.4

(673.38
)
67.35



5

1.752

MON

0.66

4,687.5

2/26/2013

5/1/2021

BRSF8V463

FMS WERTMANAGEMENT LT GTD SENIOR CORP
 
D

 
 
2,837,654.13

2,984,177.58

1,800,000

2,840,589.93

143,587.65

423.39


139,221.1

4

2.426

MON

1.89

22,383.24

5/2/2012

2/1/2041

D2R6KTMR2

FMS WERTMANAGEMENT LT GTD SENIOR LOCAL
 
D

 
 
4,113,052.55

4,317,876.88

2,600,000

4,112,683.11

205,193.77

(369.44
)

198,624.99

0.539

0.538

MON

0.58

4,746.67

6/10/2011

11/6/2017

3135G0CM3

FNMA AGENCY BND
 
 
 
 
1,775,714.5

1,774,430.07

1,750,000

1,773,572.47

857.6

(2,142.03
)


0.619

0.619

MON

0.73

(243.06
)
6/10/2011

10/7/2020

3135G0YN7

FNMA AGENCY BND
 
 
 
 
1,000,000

1,000,569.92

1,000,000

1,000,000

569.92




2.625

1.246

MS

0.67


4/8/2013

9/15/2016

3136G1W47

FNMA AGENCY BND
 
 
 
 
1,250,000

1,247,026.25

1,250,000

1,250,000

(2,973.75
)



1.875

1.281

OCT

1.42


4/3/2013

10/13/2016

3135G0WJ8

FNMA AGENCY BND
 
 
 
 
1,995,720

1,939,140.02

2,000,000

1,996,304.03

(57,164.01
)
207.71



1.038

1.25

FMAN

3.19

8,750

3/10/2011

2/25/2030

3135G0UM3

FNMA AGENCY BND
 
 
 
 
2,499,125

2,494,949.93

2,500,000

2,499,370.91

(4,420.98
)
72.62



0.542

0.542

MON

0.61


6/10/2011

00/00/0000

3135G0WW9

FNMA AGENCY BND
 
 
 
 
2,999,970

2,988,539.88

3,000,000

2,999,976.13

(11,436.25
)
2.51



0.521

0.521

MON

0.68

7,800

6/10/2011

12/7/2020

3135G0US0

FNMA AGENCY BND
 
 
 
 
3,001,200

2,996,460.12

3,000,000

3,000,199.05

(3,738.93
)
(327.02
)


0.542

0.542

MON

0.61


6/10/2011

00/00/0000

31359MA45

FNMA AGENCY BND
 
 
 
 
5,481,178.71

5,304,600

5,000,000

5,126,897.46

177,702.54

(24,443.75
)


1.84

1.851

MON

0.26

125,000

9/7/2011

10/7/2020

31398AU34

FNMA AGENCY BND
 
 
 
 
5,234,460

5,420,782.4

5,250,000

5,244,998.82

175,783.58

776.47





MJSD

0.3


6/10/2013

11/4/2016

31359MZC0

FNMA AGENCY BND
 
 
 
 
5,904,904.9

5,678,102.53

5,300,000

5,513,517.66

164,584.87

(29,631.64
)


0.619

0.605

MON

0.37

115,937.5

6/10/2011

1/8/2020

3135G0YM9

FNMA AGENCY BND
 
 
 
 
5,989,620

6,036,480.12

6,000,000

5,990,294.97

46,185.15

500.24





N/A

1.74


6/14/2013

6/4/2016

3135G0VA8

FNMA AGENCY BND
 
 
 
 
6,742,305

6,750,878.04

6,750,000

6,744,460.93

6,417.11

623.84



0.366

1.432

MJSD

0.49


2/22/2012

12/26/2019

31394BPP3

FNMA AGENCY CMO_04-88 HA
 
 
 
 
10,606.77

10,742.6

10,257.38

10,342.85

399.75

(34.53
)


1.25

1.34

MS

1.51

189.12

9/10/2013

9/19/2016

31398T6X4

FNMA CMO 10-113 FA
 
 
 
 
2,903,137.15

2,919,060.77

2,905,324.4

2,903,839.56

15,221.21

201.05



1.375

1.053

JUN

1.59

4,362.83

4/9/2013

6/21/2017

31394DA42

FNMA CMO_05-48 AR
 
 
 
 
106,986.68

114,695.88

106,223.2

106,565.89

8,129.99

(54.15
)



0.142

MJSD

2.72

1,544.77

10/17/2013

10/12/2020

31394EZX9

FNMA CMO_05-65 WL
 
 
 
 
2,001,946.78

2,007,048.12

1,923,215.17

1,962,651.33

44,396.79

(22,261.6
)




MJSD

10.01

30,068.85

00/00/0000

00/00/0000

31396L5J5

FNMA CMO_06-129 FA
 
 
 
 
358,969.79

358,015.05

359,194.28

359,086.72

(1,071.67
)
41.53




0.166

MJSD

0.39

389.23

9/24/2013

4/15/2018

31397MTX5

FNMA CMO_08-81 KA
 
 
 
 
711,997.47

730,363.55

714,453.39

712,051.25

18,312.3

631.51





MJSD

4.42

10,450.5

00/00/0000

00/00/0000

31371NAC9

FNMA POOL # 256603
 
 
 
 
432,349.25

471,146.12

431,944.29

432,006.96

39,139.16

0.41




0.106

MJSD

6.39

6,301.58

9/11/2013

9/10/2020






31371NE35

FNMA POOL # 256754
 
 
 
 
170,819.51

175,775.96

161,150.48

169,223.93

6,552.03

(838.94
)



0.018

JAJO

3.28

2,346.77

12/19/2013

11/23/2020

31385W2S7

FNMA POOL # 555285
 
 
 
 
2,024,556.98

2,064,617.49

1,837,374.46

2,017,146.29

47,471.2

(15,484.15
)



0.071

MJSD

9.12

29,134.09

12/13/2013

1/31/2021

31385XAZ0

FNMA POOL # 555424
 
 
 
 
2,262,542.73

2,296,298.21

2,078,557.88

2,256,314.01

39,984.2

(17,716.21
)



0.036

MJSD

4.29

30,304.62

12/18/2013

1/6/2021

31385XEW3

FNMA POOL # 555549
 
 
 
 
117,851.02

126,563.68

118,816.43

118,082.23

8,481.45

95.51





JAJO

6.05

1,598.85

1/25/2013

12/21/2018

31385XK48

FNMA POOL # 555715
 
 
 
 
76,689.53

81,470.98

77,374.28

76,736.36

4,734.62

38.67





MJSD

1.78

469.93

10/4/2013

2/19/2019

31400EGH7

FNMA POOL # 685200
 
 
 
 
110,099.42

118,238.99

111,001.31

110,323.57

7,915.42

80.27




0.252

MJSD

5.54

1,470.06

6/21/2013

6/26/2019

31400PG58

FNMA POOL # 693320
 
 
 
 
58,432.8

62,251.32

58,946.28

58,475.09

3,776.23

3.91




0.142

FMAN

1.77

354.92

12/18/2013

12/17/2020

31400QJ87

FNMA POOL # 694287
 
 
 
 
8,900.66

9,621.08

8,980.12

8,906.3

714.78

7.51




0.072

MJSD

1.63

56.14

12/12/2013

12/5/2020

31400SA33

FNMA POOL # 695826
 
 
 
 
52,794.61

56,697.68

53,227.08

52,899.34

3,798.34

56.79



4.75

1.795

OCT

5.71

733.58

11/29/2013

10/15/2018

31401A3C9

FNMA POOL # 702895
 
 
 
 
115,938.95

124,510.24

116,888.69

116,171.27

8,338.97

76.49




0.036

MJSD

5.72

1,555.32

11/22/2013

11/26/2020

31401DVW8

FNMA POOL # 705429
 
 
 
 
116,029.34

124,544.3

117,382

116,129.44

8,414.86

9.61




0.144

MJSD

1.68

692.3

12/5/2013

10/30/2020

31401MKS9

FNMA POOL # 712305
 
 
 
 
920,839.5

915,587.73

864,638

918,877.71

(3,289.98
)
(3,073.5
)



0.1

MJSD

1.9

5,682.6

10/11/2013

9/28/2018

31402DQB9

FNMA POOL # 725950
 
 
 
 
178,184.16

191,585.62

179,813.7

178,499.11

13,086.51

130.76




0.076

MJSD

2.7

2,381.3

3/12/2013

10/4/2019

31402HD32

FNMA POOL # 729222
 
 
 
 
1,037,413.38

1,098,044.12

1,048,881.39

1,038,332.77

59,711.35

959.01




0.071

MJSD

1.86

6,326.35

12/18/2013

11/20/2020

31402RB81

FNMA POOL # 735463
 
 
 
 
98,240.01

104,845.52

99,052.58

98,311.93

6,533.59

5.45



0.754

0.829

FMAN

1.94

630.4

11/13/2013

8/3/2015

31402RF87

FNMA POOL # 735591
 
 
 
 
4,280,899.93

4,496,216.2

4,124,945.6

4,274,669.85

221,546.35

(13,197.43
)



0.064

MJSD

8.12

54,379.61

5/29/2013

11/9/2019

31402YSV7

FNMA POOL # 742232
 
 
 
 
7,090.86

7,718.82

7,201.04

7,096.33

622.49

41.26



4.75

4.783

MJSD

1.86

59.78

10/15/2013

10/25/2016

31403C2L4

FNMA POOL # 745179
 
 
 
 
394,599.36

423,771.8

397,831.75

395,274.88

28,496.92

308.1





MJSD

7.4

5,331.49

00/00/0000

00/00/0000

31403DCE7

FNMA POOL # 745369
 
 
 
 
304,855.39

327,474.15

307,352.61

305,345.18

22,128.97

233.16




0.026

MJSD

8.19

4,109.26

6/5/2013

3/1/2020

31403DCZ0

FNMA POOL # 745388
 
 
 
 
736,351.31

790,789.18

742,383.16

737,711.61

53,077.57

577.89



4.625

1.401

JAN

4.52

9,953.76

11/29/2013

1/18/2016

31403H3P3

FNMA POOL # 749706
 
 
 
 
517,595.61

553,516.19

524,106

518,318.96

35,197.23

70.08




0.071

MJSD

1.82

3,265.34

10/31/2013

10/26/2020

31403KDB6

FNMA POOL # 750798
 
 
 
 
4,084.84

4,271.01

4,148.31

4,091.37

179.64

13.97





MJSD

1.88

25.3

12/17/2013

6/30/2019

31403VBR9

FNMA POOL # 758848
 
 
 
 
155,915.48

167,442.23

157,192.7

156,185.3

11,256.93

168.87





MJSD

7.04

2,205.5

8/1/2013

5/31/2020

31404CLB4

FNMA POOL # 764522
 
 
 
 
19,401.07

20,780.33

19,793.86

19,427.54

1,352.79

3.15





FMAN

1.88

119.48

5/24/2013

6/3/2020

31404LRF9

FNMA POOL # 771886
 
 
 
 
71,083.65

75,975.62

72,272.21

71,210.19

4,765.43

12.64




0.036

FMAN

1.84

461.01

6/6/2013

6/7/2020

31404NBP0

FNMA POOL # 773246
 
 
 
 
95,796.7

101,025.85

96,598.45

95,854.51

5,171.34

46.45




0.177

MJSD

1.97

629.04

10/25/2013

6/18/2020

31404VGA0

FNMA POOL # 779693
 
 
 
 
500,529.38

526,650.9

505,266.23

500,975.83

25,675.07

303.22




0.071

MJSD

1.94

3,107.5

10/8/2013

9/30/2020

31405PAG5

FNMA POOL # 794807
 
 
 
 
125,176.97

133,148.74

124,836.18

125,103.41

8,045.33

(2.42
)



0.071

MJSD

4.25

656.81

9/27/2013

9/18/2020

31405UMM8

FNMA POOL # 799664
 
 
 
 
51,205.48

54,665.01

51,608.03

51,240.63

3,424.38

3.77



0.875

0.912

JUL

1.59

295.16

7/23/2013

7/29/2016

31405UR84

FNMA POOL # 799811
 
 
 
 
139,303.43

144,481.76

138,939.43

139,222.17

5,259.59

(20.91
)



0.072

MJSD

3.16

815.1

12/17/2013

12/19/2020

31405UTZ2

FNMA POOL # 799868
 
 
 
 
12,256.85

13,052.24

12,353.19

12,264.39

787.85

1.12




0.061

MJSD

1.54

69.39

12/2/2013

10/16/2019

31406BB90

FNMA POOL # 804764
 
 
 
 
152,340.16

161,780.8

153,537.75

152,432.87

9,347.93

55.4





MJSD

1.7

990.59

8/22/2013

1/15/2020

31406BEZ9

FNMA POOL # 804852
 
 
 
 
142,192.66

151,962.38

143,310.5

142,278.89

9,683.49

11.46





FMAN

1.61

884.42

8/26/2013

8/17/2020

31406BJF8

FNMA POOL # 804962
 
 
 
 
151,476.48

163,380.51

152,667.3

151,566.79

11,813.72

50.5



1.5

1.486

MAY

1.62

971.6

11/25/2013

5/2/2017






31406BQQ6

FNMA POOL # 805163
 
 
 
 
201,504.02

215,449.17

203,190.54

201,633.43

13,815.74

41.34





FMAN

1.82

1,274.4

12/4/2013

11/8/2019

31406DG67

FNMA POOL # 806721
 
 
 
 
280,753.19

295,417.87

282,960.3

280,972.24

14,445.63

151.83





FMAN

1.97

1,874.14

00/00/0000

00/00/0000

31406GLK3

FNMA POOL # 809530
 
 
 
 
50,229.92

54,532.69

50,585.64

50,262.6

4,270.09

2.92




0.097

FMAN

1.66

314.75

11/19/2013

4/4/2018

31406MYP5

FNMA POOL # 814418
 
 
 
 
120,412.62

127,750.1

121,487.79

120,523.7

7,226.4

38.74




0.072

MJSD

1.72

695.87

10/4/2013

8/14/2020

31406PKU2

FNMA POOL # 815807
 
 
 
 
252,427.35

267,580.65

254,836.28

252,721.99

14,858.66

76.85





MJSD

1.87

1,572.99

12/17/2013

10/1/2020

31406TLC3

FNMA POOL # 819423
 
 
 
 
297,523.23

318,659.42

300,179.85

297,717.9

20,941.52

127.37




(0.21
)
MJSD

2.07

2,069.93

12/13/2013

7/1/2020

31406TTE1

FNMA POOL # 819649
 
 
 
 
2,467,442.82

2,506,504.44

2,385,443.2

2,459,646.76

46,857.68

(3,863.58
)


0.75

0.776

MS

1.88

14,804.82

3/19/2013

3/29/2016

31406VHE9

FNMA POOL # 821129
 
 
 
 
170,716.84

182,448.56

172,241.16

170,817.92

11,630.64

8.39




0.071

MJSD

1.88

1,070.86

11/6/2013

10/25/2020

31407D5R2

FNMA POOL # 828056
 
 
 
 
569,801.29

591,063.57

560,254.9

568,899.56

22,164.01

(109.42
)




MJSD

1.95

3,529.93

12/17/2013

00/00/0000

31407E6W8

FNMA POOL # 828985
 
 
 
 
284,897.4

310,193.05

294,705.58

285,650.79

24,542.26

287.92




0.249

MJSD

1.73

1,708.45

8/23/2013

8/20/2019

31407GC22

FNMA POOL # 829989
 
 
 
 
830,538.68

882,034.1

838,431.72

831,283.84

50,750.26

57.86




0.083

MJSD

2.04

5,461.21

8/6/2013

7/19/2019

31408C6D3

FNMA POOL # 847868
 
 
 
 
1,304,795.48

1,393,122.94

1,318,807.8

1,306,561.36

86,561.58

61.39




0.038

FMAN

1.59

7,234.66

6/6/2013

1/15/2020

31409UBQ7

FNMA POOL # 878547
 
 
 
 
918,813.14

1,000,987.94

926,230.23

919,520.06

81,467.88

61.01





MJSD

1.84

6,079.84

00/00/0000

00/00/0000

31410FU60

FNMA POOL # 888105
 
 
 
 
316,090.67

339,459

318,679.94

316,533.32

22,925.68

233.27




0.05

MJSD

8.86

4,247.49

10/18/2013

4/29/2020

31410GC35

FNMA POOL # 888490
 
 
 
 
198,456.79

209,437.74

198,906.37

198,476.74

10,961

4.58




0.071

FMAN

1.73

1,131.04

9/3/2013

8/13/2020

31410GC50

FNMA POOL # 888492
 
 
 
 
87,030.41

91,527.85

86,865.07

86,994.33

4,533.52

(8.51
)



0.065

MJSD

1.77

524.61

9/16/2013

8/17/2020

31410GDC4

FNMA POOL # 888499
 
 
 
 
733,204.23

776,976.57

737,323.76

733,452.07

43,524.5

114.16




0.072

MJSD

1.78

4,424.42

11/8/2013

9/26/2020

31410GDF7

FNMA POOL # 888502
 
 
 
 
100,763.96

108,970.27

102,073.72

100,909.26

8,061.01

29.11





MJSD

1.09

469.41

11/25/2013

6/8/2018

31410GDL4

FNMA POOL # 888507
 
 
 
 
380,840.24

404,433.05

387,506.85

381,520.41

22,912.64

336.71




0.144

MJSD

1.95

2,416.4

12/16/2013

12/19/2020

31410GDM2

FNMA POOL # 888508
 
 
 
 
457,017.88

479,643.52

463,407.49

457,446.37

22,197.15

841.41





MJSD

2.15

3,272.79

00/00/0000

00/00/0000

31410GDQ3

FNMA POOL # 888511
 
 
 
 
66,077.54

70,222.67

66,677.73

66,113.97

4,108.7

71.64





MJSD

1.74

453.43

11/15/2013

5/9/2018

31410GDS9

FNMA POOL # 888513
 
 
 
 
107,800.42

115,473.99

108,364.92

107,828.15

7,645.84

24.76




0.049

MJSD

1.79

688.55

12/18/2013

12/18/2020

31410GDX8

FNMA POOL # 888518
 
 
 
 
91,586.88

96,761.58

91,881.14

91,604.05

5,157.53

2.66




0.083

MJSD

2.01

589.56

12/17/2013

1/2/2020

31410GDY6

FNMA POOL # 888519
 
 
 
 
53,660.59

58,481.23

54,582.05

53,736.85

4,744.38

42.57




0.072

FMAN

1.56

352.13

12/12/2013

11/9/2020

31410GDZ3

FNMA POOL # 888520
 
 
 
 
668,946.85

702,647.81

673,210.51

669,253.74

33,394.07

476.94





MJSD

1.86

4,187.87

00/00/0000

00/00/0000

31410GD83

FNMA POOL # 888527
 
 
 
 
22,883.88

25,127.95

23,314.94

22,910.92

2,217.03

21.15




0.078

MJSD

1.65

147.18

12/23/2013

4/17/2020

31410GFD0

FNMA POOL # 888564
 
 
 
 
5,338,956.52

5,519,289.17

5,180,309.55

5,303,125.8

216,163.37

(12,961.37
)



0.101

MJSD

3.24

68,852.95

12/19/2013

11/13/2018

31410GPR8

FNMA POOL # 888832
 
 
 
 
2,620,319.42

2,804,631.43

2,519,916.48

2,616,137.19

188,494.24

(12,384.58
)



0.015

MJSD

10.74

44,083.86

10/1/2013

6/30/2021

31410LK84

FNMA POOL # 890519
 
 
 
 
2,009,081.15

2,034,140.7

1,834,646.42

2,003,092.96

31,047.74

(13,683.73
)


2.25

1.94

JJ

5.02

5,746.76

4/30/2013

7/15/2017

31411DA33

FNMA POOL # 904626
 
 
 
 
596,163.04

619,323.51

593,335.42

595,714.55

23,608.96

(301.03
)


2.5

1.3

FA

2.07

4,442.84

1/19/2012

8/15/2015

31411GUY6

FNMA POOL # 907899
 
 
 
 
1,469,819.69

1,526,177.65

1,457,747.72

1,468,183.66

57,993.99

(931.43
)


2.95

2.723

MN

1.96

9,244.69

2/22/2012

5/15/2016

31411KCZ4

FNMA POOL # 910088
 
 
 
 
2,441,670.68

2,700,397.43

2,418,992.64

2,440,962.93

259,434.5

(1,506.71
)


0.875

0.853

FA

4.84

37,909.31

1/8/2013

2/13/2015

31411LEA5

FNMA POOL # 911029
 
 
 
 
172,735.66

177,747.71

162,958.17

171,099.53

6,648.18

(860.24
)


0.9

0.906

FA

3.3

2,333.19

4/23/2013

2/12/2016

31411WPJ0

FNMA POOL # 916725
 
 
 
 
1,043,478.23

1,040,924.65

986,157.8

1,041,717.36

(792.71
)
(3,313.33
)


0.624

0.677

FMAN

1.9

6,180.16

2/7/2013

2/12/2016






31412LMG2

FNMA POOL # 928359
 
 
 
 
152,586.78

157,014.21

143,949.8

151,177.85

5,836.36

(1,707.57
)


1.75

1.906

MN

3.26

2,180.04

8/9/2013

11/6/2017

31412LQN3

FNMA POOL # 928461
 
 
 
 
258,287.11

265,781.52

243,667.1

256,007.27

9,774.25

(423.02
)


2

0.893

FA

3.28

3,416.93

3/7/2013

8/2/2016

31412LVF4

FNMA POOL # 928614
 
 
 
 
1,536,119.34

1,576,739.83

1,445,546.8

1,522,843.63

53,896.2

(3,457.18
)


5.2

0.809

JJ

3.32

20,388.73

2/25/2013

1/15/2016

31412SRH0

FNMA POOL # 933488
 
 
 
 
516,854.01

524,548.91

492,388.47

513,319.99

11,228.92

(2,132.05
)


0.55

0.591

AO

3.51

6,520.06

11/8/2012

10/15/2015

31414ARA2

FNMA POOL # 960481
 
 
 
 
975,267.68

989,800.3

929,102.88

968,717.03

21,083.27

(1,579.25
)


1.35

1.393

MS

3.47

11,874.56

3/7/2013

3/15/2018

31414CRJ9

FNMA POOL # 962289
 
 
 
 
1,181,544.37

1,199,135.13

1,125,615.37

1,173,527.92

25,607.21

(2,283.74
)


1.75

1.782

MN

3.51

14,463.96

11/8/2012

5/15/2017

31414GD22

FNMA POOL # 965521
 
 
 
 
146,845.95

151,106.8

138,533.92

145,683.82

5,422.98

(523.86
)


4.125

0.853

MS

3.39

1,997.75

6/20/2013

9/11/2015

31414NB45

FNMA POOL # 970859
 
 
 
 
1,357,465.68

1,375,627.85

1,291,287.21

1,349,903.37

25,724.48

(7,290.79
)


0.65

0.742

MN

3.61

17,263.15

11/26/2012

11/27/2015

31414RB79

FNMA POOL # 973562
 
 
 
 
931,770.74

951,070.66

879,029

924,269.61

26,801.05

(6,169.52
)


1.3

1.308

JJ

3.64

13,593.43

7/24/2013

7/29/2016

31415MDG7

FNMA POOL # 984003
 
 
 
 
1,452,230.28

1,651,787.36

1,495,939.76

1,453,531.46

198,255.9

6,468.61



1.125

1.244

AO

4.51

22,630.75

10/3/2013

10/7/2016

31415MFS9

FNMA POOL # 984077
 
 
 
 
718,846.21

729,548.34

684,819.25

713,833.4

15,714.94

(2,217.42
)


1

1.073

FA

3.54

9,011.13

9/4/2012

8/11/2015

31416BLV8

FNMA POOL # 995040
 
 
 
 
568,726.34

576,335.61

541,000.1

564,946.56

11,389.05

(2,710.9
)


0.612

0.648

FMAN

3.54

7,227.13

5/22/2013

5/26/2016

31416BSE9

FNMA POOL # 995217
 
 
 
 
1,293,099.33

1,329,478.02

1,218,858.47

1,284,336.25

45,141.77

(6,357.32
)


5

2.267

JJ

3.59

17,796.96

9/23/2010

1/15/2015

31416BSX7

FNMA POOL # 995234
 
 
 
 
2,173,662.78

2,156,361.64

2,024,365.8

2,141,944.68

14,416.96

(16,286.34
)


4.125

0.586

JJ

2.58

27,101.22

9/18/2013

1/15/2015

31416B4M7

FNMA POOL # 995528
 
 
 
 
1,546,792.61

1,586,499.52

1,488,866.38

1,535,319.83

51,179.69

(4,371.9
)


3.625

0.599

AO

6.56

19,766.29

6/26/2013

4/15/2015

31416B4N5

FNMA POOL # 995529
 
 
 
 
2,757,067.99

2,896,412.03

2,655,415.35

2,740,488.9

155,923.13

(10,498.92
)


1.375

1.338

JJ

6.75

39,374.72

2/11/2013

7/15/2017

31416B4P0

FNMA POOL # 995530
 
 
 
 
1,505,768.56

1,575,521.04

1,443,949.48

1,494,126.47

81,394.57

(3,875.74
)


0.492

0.523

FMAN

3.14

20,847.14

4/30/2013

5/3/2018

31416B7J1

FNMA POOL # 995597
 
 
 
 
157,237.44

161,799.81

148,337.22

156,188.15

5,611.66

(748.28
)


1

1.076

MN

3.64

2,163.25

4/30/2013

5/3/2018

31416CME3

FNMA POOL # 995957
 
 
 
 
2,756,647.5

2,790,937.33

2,619,823.14

2,741,629.46

49,307.87

(11,061.07
)


5.45

1.478

MS

3.67

34,733.69

9/25/2012

3/15/2018

31416MZC1

FNMA POOL # AA4338
 
 
 
 
2,115,979.68

2,086,866.14

1,966,638.08

2,114,500.51

(27,634.37
)
(8,019.24
)


0.9

0.937

FA

7.89

23,094.73

2/6/2013

2/12/2016

31416TL49

FNMA POOL # AA9346
 
 
 
 
7,601,553.05

7,997,578.42

7,520,639.24

7,597,481.1

400,097.32

(2,439.37
)


1.45

1.462

MN

7.86

86,662.21

5/9/2013

5/15/2018

31417FQC5

FNMA POOL # AB8550
 
 
 
 
2,415,074.76

2,312,912.74

2,333,845.98

2,411,822.52

(98,909.78
)
(2,619.23
)


1.125

1.15

MN

2.62

14,817.12

11/6/2013

11/14/2016

31417FX94

FNMA POOL # AB8803
 
 
 
 
23,556.31

22,696.99

22,219.66

23,514.86

(817.87
)
(73.8
)


3.625

1.551

MS

2.67

170.09

2/8/2013

3/17/2016

31417F2Y3

FNMA POOL # AB8890
 
 
 
 
27,396.69

26,397.26

25,842.12

27,348.01

(950.75
)
(59.55
)


3.875

3.206

MS

2.67

198.33

4/5/2013

3/22/2017

31419ALC9

FNMA POOL # AE0322
 
 
 
 
1,591,351.86

1,563,604.27

1,467,529.1

1,581,897.12

(18,292.85
)
(13,519.55
)


2.3

0.972

JJ

3.15

19,483.59

10/15/2013

7/28/2016

31419BBT1

FNMA POOL # AE0949
 
 
 
 
3,573,561.27

3,478,830.4

3,370,787.36

3,569,149.77

(90,319.37
)
(6,531.24
)


2.4

2.438

JJ

3.73

34,403.7

11/17/2011

1/17/2017

3138A7Q76

FNMA POOL # AH5877
 
 
 
 
787,624.73

782,055.8

734,810.25

787,186.97

(5,131.17
)
(437.76
)


1.2

1.183

FA

5.76

(1,551.27
)
7/19/2013

2/20/2015

3138A9YZ1

FNMA POOL # AH7927
 
 
 
 
2,154,882.89

2,178,413.64

2,081,698.19

2,148,926.13

29,487.51

(2,877.99
)


0.7

0.674

AO

5.42

18,724.55

2/13/2013

10/23/2015

3138E9KT6

FNMA POOL # AK4805
 
 
 
 
128,693.73

126,014.43

123,373.26

128,338.3

(2,323.87
)
(370.32
)


0.469

0.512

JAJO

2.64

951.62

3/1/2013

10/23/2015

3138E9L40

FNMA POOL # AK4846
 
 
 
 
2,567,683.29

2,514,226.24

2,461,529.81

2,560,644.88

(46,418.64
)
(5,468.04
)


0.7

0.72

MS

2.65

19,062.32

3/4/2013

3/4/2016

3138EGHT4

FNMA POOL # AL0241
 
 
 
 
4,598,294.44

4,447,080.63

4,309,112.59

4,592,361.36

(145,280.73
)
(6,093.21
)


0.469

0.49

MJSD

7.46

43,430.97

11/26/2013

3/4/2016

3138EH3F7

FNMA POOL # AL1697
 
 
 
 
3,147,068.76

3,045,753.33

2,951,097.44

3,143,522.28

(97,768.95
)
(6,005.99
)


0.682

0.723

MJSD

3.73

29,987.27

3/4/2013

3/6/2018

3138EJPG7

FNMA POOL # AL2222
 
 
 
 
886,496.12

854,472.87

836,563.71

883,370.77

(28,897.9
)
(1,936.87
)


2.1

2.126

JJ

2.66

6,411.74

11/13/2013

1/15/2019

3138EMCW9

FNMA POOL # AL4584
 
 
 
 
536,875

533,892.32

500,000

536,780.31

(2,887.99
)
(94.69
)


0.683

0.848

MJSD

3.39

(1,437.5
)
9/14/2012

9/11/2015






3138LURE7

FNMA POOL # AO4084
 
 
 
 
1,624,097.38

1,601,948.34

1,529,011.96

1,620,427.44

(18,479.1
)
(5,439.88
)


4

3.941

MS

2.74

13,854.4

2/23/2009

3/1/2014

3138M5GL7

FNMA POOL # AP2002
 
 
 
 
757,595.92

752,898.57

710,107.49

754,975.83

(2,077.26
)
(6,629.05
)


0.95

1.014

JD

2.07

6,817.89

8/28/2013

6/1/2016

3138M8HY2

FNMA POOL # AP4746
 
 
 
 
2,388,352.26

2,312,988.77

2,263,841.01

2,383,381.09

(70,392.32
)
(4,870.67
)


1.85

1.852

JD

2.65

17,307.76

6/4/2013

6/15/2018

3138M8YB3

FNMA POOL # AP5205
 
 
 
 
5,955,361.3

5,690,411.98

5,741,836.73

5,943,267.19

(252,855.21
)
(5,934.2
)


1.45

1.462

AO

2.62

36,417.57

9/4/2013

10/3/2016

3138MBWZ5

FNMA POOL # AP7863
 
 
 
 
861,941.65

856,597.3

807,912.49

858,981.82

(2,384.52
)
(4,026.8
)


0.568

0.568

JAJO

2.08

7,320.66

10/21/2013

10/28/2015

3138MRLL3

FNMA POOL # AQ9330
 
 
 
 
2,852,464.09

2,692,271.85

2,703,156.9

2,851,249.29

(158,977.44
)
(3,844.02
)


0.674

0.674

MJSD

3.54

24,049.56

11/19/2013

12/1/2016

3138W4AB7

FNMA POOL # AR6301
 
 
 
 
25,233.15

24,312.65

23,801.35

25,188.68

(876.03
)
(34.16
)


1.05

1.095

JD

2.67

180.34

11/19/2013

12/1/2016

3138W9VQ0

FNMA POOL # AS0622
 
 
 
 
2,180,246.14

2,140,167.96

2,093,873.83

2,179,319.77

(39,151.81
)
(1,356
)


5.7

3.797

MN

5.35

2,279.64

10/29/2009

11/15/2014

3138WAJB4

FNMA POOL # AS1157
 
 
 
 
6,168,285.07

6,090,481.23

5,962,396.08

6,166,276.65

(75,795.42
)
(2,008.42
)


0.629

1.029

FMAN

8.05

(496.87
)
1/4/2013

11/21/2016

3138WPLC6

FNMA POOL # AT2122
 
 
 
 
33,031.63

31,826.63

31,157.3

32,972.44

(1,145.81
)
(57.61
)


1.75

1.757

MN

2.67

237.06

11/8/2012

11/8/2016

3138X9U23

FNMA POOL # AU9600
 
 
 
 
1,914,818.08

1,879,040.23

1,837,857.79

1,914,002.93

(34,962.7
)
(1,202.38
)


5.2

3.436

MS

5.34

2,001.03

10/29/2009

9/15/2014

31418AMK1

FNMA POOL # MA1261
 
 
 
 
857,976.89

846,270.41

815,603.71

855,232.61

(8,962.2
)
(2,963.6
)


3.25

0.51

AO

2.11

6,312.04

3/8/2013

10/27/2014

3138ATD31

FNMA POOL# AJ1921
 
 
 
 
522,922.87

520,100.69

490,036.81

522,344.4

(2,243.71
)
(1,499.86
)


0.95

1.176

MN

3.98

5,699.14

4/30/2013

5/15/2018

3138EBG33

FNMA POOL#AK6517
 
 
 
 
1,488,149.48

1,454,547.87

1,423,640.77

1,483,339.41

(28,791.54
)
(1,771.16
)


4.125

3.702

JD

2.64

10,821.19

2/19/2010

6/15/2015

3135G0XP3

FNMA UNSEC AGENCY BND
 
 
 
 
1,743,962.5

1,740,217.54

1,750,000

1,745,154

(4,936.46
)
479.01



6.95

3.574

MS

1.2


2/5/2009

3/15/2014

3135G0YG2

FNMA UNSECURED AGENCY BND
 
 
 
 
349,790

349,546.17

350,000

349,819.61

(273.44
)
17.66



6.125

1.046

FA

0.22

160.72

2/11/2013

8/15/2016

3135G0RT2

FNMA UNSECURED AGENCY BND
 
 
 
 
4,977,750

4,907,500.1

5,000,000

4,982,719.61

(75,219.51
)
1,072.74



1.75

1.841

MS

1.36

21,875

10/24/2013

3/1/2019

3135G0SB0

FNMA UNSECURED AGENCY BND
 
 
 
 
14,971,672.35

14,996,549.55

15,000,000

14,980,519.89

16,029.66

2,474.37



1

1.067

JJ

0.39

28,125

12/10/2012

1/15/2018

3136A7QW5

FNMA_12-86 AGENCY CMO 12-86
 
 
 
 
915,831.99

912,694.08

905,084.13

909,270.41

3,423.67

(2,367.28
)


3.25

0.759

MN

1.93

5,030.05

1/2/2013

5/18/2015

3136AFA95

FNMA_13-81 AGENCY CMO 13-81 UF
 
 
 
 
1,939,381.77

1,936,960.02

1,940,898.1

1,939,428.03

(2,468.01
)
63.13



1.2

1.213

JD

1.28

2,072.67

12/2/2013

12/5/2016

34530CAC5

FORD CREDIT AUTO LEASE TRUST F ABS_13-A
 
 
 
 
1,154,886.58

1,154,965.37

1,155,000

1,154,931.91

33.46

14.55



5.125

2.135

FA

0.6

1,732.5

9/12/2011

8/1/2014

34529PAD7

FORD CREDIT AUTO OWNER TRUST F ABS 11-A
 
 
 
 
389,697.38

388,888.58

386,811.4

388,899.54

(10.96
)
(1,164.96
)


0.95

0.957

JD

1.2

1,903.28

6/21/2012

6/26/2015

345397WN9

FORD MOTOR CREDIT COMPANY LLC SENIOR
 
 
 
 
4,186,061.4

4,187,974.55

4,190,000

4,186,203.45

1,771.1

142.05



1.25

1.25

MN

4.55


2/22/2013

11/6/2017

345397WM1

FORD MOTOR CREDIT COMPANY LLC SENIOR
 
 
 
 
6,750,000

6,776,258.04

6,750,000

6,750,000

26,258.04




0.538

0.37

JAJO

3.47

13.82

7/12/2011

4/1/2014

34529MAD4

FORDO_10-B ABS_10-B A4
 
 
 
 
1,439,058.96

1,431,781.49

1,427,129.05

1,432,039.9

(258.41
)
(4,494.83
)


0.477

0.527

FMAN

1.2

7,233.43

2/25/2013

2/26/2016

34529UAD6

FORDO_12-A ABS 12-A
 
 
 
 
2,339,403.3

2,357,784.05

2,340,000

2,339,704.53

18,079.52

39.34



0.7

0.741

FA

0.71

6,727.5

2/25/2013

2/26/2016

34529WAC4

FORDO_12-B ABS_12-B A3
 
 
 
 
2,143,232.03

2,144,346.89

2,141,391.77

2,142,023.05

2,323.84

(260.97
)


1.35

1.355

MS

0.63

4,328.81

9/3/2013

9/6/2016

34530EAC1

FORDO_13-B ABS_13-B A3
 
 
 
 
2,524,869.2

2,524,065.68

2,525,000

2,524,898.68

(833
)
12.13



0.889

0.889

JD

1.77

3,598.14

6/17/2013

6/24/2016

34530DAB5

FORDO_13-C ABS 13-C A2
 
 
 
 
474,998.2

475,194.75

475,000

474,996.56

198.19

(1.48
)


1.718

1.718

JD

0.51

653.13

6/17/2013

6/24/2018

34530DAC3

FORDO_13-C ABS 13-C A3
 
 
 
 
3,564,398.94

3,568,636.19

3,565,000

3,564,499.83

4,136.36

79.66



2.9

2.955

MN

0.77

7,308.24

11/9/2009

11/17/2014

34530GAD4

FORDO_13-D ABS 13-D A3
 
 
 
 
4,784,780.36

4,776,578.26

4,785,000

4,784,785.17

(8,206.91
)
4.81



1.625

0.84

MS

3.01

1,692.02

9/12/2011

3/14/2014

34530BAB9

FORDO_2013-A ABS_2013-A A2
 
 
 
 
2,732,715.27

2,732,361.24

2,732,935.27

2,732,844.31

(483.07
)
76.16



0.493

0.559

MJSD

1.2

3,375.76

3/9/2011

3/14/2014

BRSL7M1V9

FORTESCUE METALS SENIOR SECURED TERM
 
F

 
 
8,241,205.8

8,406,330.54

8,305,091.47

8,242,664.21

163,666.33

1,625.68



4.75

3.117

MN

(1.35
)
113.04

5/24/2011

5/19/2015

BRSL40CC0

FORTIUS RE LTD CORP BND 144A
 
F

 
 
5,000,000

5,000,659.72

5,000,000

5,000,000

659.72




4.587

3.229

JD

4.77

48,819.44

5/16/2012

12/15/2015






35177PAU1

FRANCE TELECOM SA CORP BND
 
F

 
 
996,600

1,019,244.46

1,000,000

998,799.49

20,444.97

175.59



1.8

1.588

MS

0.99


11/22/2013

9/1/2016

35177PAS6

FRANCE TELECOM SA CORP BND
 
F

 
 
4,334,534.04

4,191,158.16

4,116,000

4,169,338.27

21,819.89

(25,510.14
)


1.5

1.548

MN

0.84


11/4/2010

11/15/2015

354613AH4

FRANKLIN RESOURCES INC SENIOR CORP BND
 
 
 
 
2,834,467.5

2,787,893.49

2,850,000

2,838,333.32

(50,439.83
)
778.74



0.342

0.342

FMAN

7.95


10/29/2013

11/1/2016

3137A2H95

FREDDIE MAC FHLMC_3766 CMO_37-66 FA
 
 
 
 
68,284.05

68,297.18

68,220.09

68,271.45

25.73

(18.86
)


0.75

0.789

MN

0.5

102.01

10/29/2013

11/1/2016

BRSEHTXV4

FREEDOM GROUP INC SENIOR SEC TERM NOTES
 
 
 
 
4,682,670.61

4,729,570.57

4,706,040.37

4,687,316.57

42,254

783.01



0.6

0.727

MN

(3.63
)
63,953.02

11/3/2011

11/15/2014

35671DAW5

FREEPORT-MCMORAN COPPER & GOLD SENIOR
 
 
 
 
3,345,980

3,382,006.11

3,350,000

3,347,445.02

34,561.09

198.01



0.9

0.998

MN

3.68


4/29/2013

5/1/2018

35671DBD6

FREEPORT-MCMORAN COPPER & GOLD SENIOR
 
 
 
 
3,769,675.91

3,768,032.06

3,770,000

3,769,707.13

(1,675.07
)
31.22



6.5

2.235

JJ

2.39

(6,217.88
)
9/24/2010

1/15/2015

BRSHBDMR9

FREESCALE SEMICONDUCTOR INC SENIOR
 
 
 
 
6,173,457.34

6,309,314.58

6,250,187.8

6,179,736.41

129,578.17

3,592.51



5.85

0.832

MN

(5.39
)
105,965.01

2/25/2013

11/15/2015

39153VBJ2

GALC_13-1 ABS 13-1 144A
 
 
 
 
1,774,852.5

1,775,053.21

1,775,000

1,774,905.21

148

10.67



2.5

2.522

MS

0.78

3,461.25

9/16/2013

9/20/2018

36156HAV0

GCOE_06-1 ABS 06-1
 
 
 
 
1,557,630.56

1,692,952.64

1,735,521.51

1,631,230.78

61,721.86

7,202.51



4.6

4.616

JJ

0.8

1,740.45

5/18/2009

1/15/2015

G3775BCT0

GE CAPITAL UK FUNDING CORP BND EMTN
 
D

 
 
1,502,882.04

1,510,586.15

860,000

1,499,556.37

11,029.78

(3,325.67
)

16,661.22

5.625

1.006

AO

3.18

(57,120.81
)
11/26/2013

10/15/2016

36830HAC6

GE EQUIPMENT SMALL TICKET LLC ABS 11-1
 
 
 
 
36,812.84

36,828.7

36,818.35

36,818.06

10.64

10.51



1.05

1.1

JD

1.44

887.22

4/5/2013

12/15/2017

36830NAC3

GEEMT_13-1 ABS 13-1 A3
 
 
 
 
2,894,934.58

2,901,629.43

2,895,000

2,894,939.97

6,689.46

5.22



5.55

3.313

AO

2.43

6,646.44

10/29/2009

4/1/2014

36162RAC2

GEEST_12-1A ABS 12-1A 144A
 
 
 
 
2,999,393.1

3,009,329.91

3,000,000

2,999,801.43

9,528.48

64.92



5

0.97

JD

1.38

7,800

3/4/2013

12/1/2014

369550AQ1

GENERAL DYNAMICS CORP CORP BND
 
 
 
 
1,149,579.4

1,127,252.11

1,090,000

1,130,750.01

(3,497.9
)
(3,969.12
)


1.125

1.129

JD

0.89


12/28/2012

12/15/2017

369550AV0

GENERAL DYNAMICS CORP SENIOR CORP BND
 
 
 
 
14,315,410.88

14,027,962.36

14,463,000

14,340,000.99

(312,038.63
)
7,783.2



5.45

0.816

JD

7.23

72,315

11/21/2012

12/15/2014

36962G4D3

GENERAL ELECTRIC CAP CORP CORP BND MTN
 
 
 
 
261,337.5

293,771.91

250,000

257,226.99

36,544.92

(274.76
)


3.5

3.535

MS

2.62


3/18/2010

3/23/2015

36962G4T8

GENERAL ELECTRIC CAP CORP CORP BND
 
 
 
 
7,243,470

7,777,259.23

7,550,000

7,426,900.84

350,358.39

16,231.88



1.204

1.284

JAJO

1.85

84,937.5

12/28/2012

1/14/2014

36962G7A6

GENERAL ELECTRIC CAP CORP CORP BND MTN
 
 
 
 
320,000

322,246.39

320,000

320,000

2,246.39




1.65

1.67

AO

0.62

776.13

4/2/2012

4/10/2015

36962G5M2

GENERAL ELECTRIC CAP CORP CORP BND MTN
 
 
 
 
1,648,284

1,677,624.3

1,650,000

1,649,403

28,221.3

143.74



2.5

2.633

JD

2.02


11/19/2012

12/1/2017

36962G6Z2

GENERAL ELECTRIC CAP CORP CORP BND MTN
 
 
 
 
3,308,940.8

3,349,949.18

3,310,000

3,309,103.67

40,845.51

86.61



3.875

3.391

MS

1.02


11/27/2013

9/15/2021

36962G6M1

GENERAL ELECTRIC CAP CORP SECURED CORP
 
 
 
 
1,265,636.06

1,263,187.41

1,258,000

1,263,274.91

(87.5
)
(677.36
)


1.3

1.362

JJ

0.79

6,290

7/25/2012

7/31/2015

36962G6N9

GENERAL ELECTRIC CAP CORP SECURED CORP
 
 
 
 
2,000,000

2,015,299.98

2,000,000

2,000,000

15,299.98




1.875

1.963

JJ

0.45

4,327.05

1/7/2013

1/11/2018

36962G6P4

GENERAL ELECTRIC CAP CORP SECURED CORP
 
 
 
 
3,505,705

3,406,486.79

3,500,000

3,505,268.95

(98,782.16
)
(205.6
)


0.922

0.945

FMAN

2.59

36,750

7/24/2013

8/1/2016

36962G6R0

GENERAL ELECTRIC CAP CORP SENIOR CORP
 
 
 
 
10,273,872.93

10,304,829.17

10,267,000

10,272,047.45

32,781.72

(620.07
)


1.45

1.486

FA

1.63


7/24/2013

8/1/2016

369604BC6

GENERAL ELECTRIC CO CORP BND
 
 
 
 
308,510.1

305,875.9

270,000

307,146.6

(1,270.7
)
(1,363.5
)


2.3

2.334

JD

1.74

1,102.5

11/22/2013

6/23/2016

369604BE2

GENERAL ELECTRIC CO SENIOR CORP BND
 
 
 
 
2,774,250.75

2,790,352.77

2,775,000

2,774,555.88

15,796.89

62.92



1.25

0.423

JD

2.14

11,793.75

7/19/2013

12/2/2014

370334BQ6

GENERAL MILLS INC SENIOR CORP BND
 
 
 
 
50,000

50,043.5

50,000

50,000

43.5




1.4

1.406

MS

0.5

72.04

11/22/2013

3/15/2017

BRSFZ6AM6

GENERAL NUTRITION CENTERS INC SENIOR
 
 
 
 
9,952,537.5

9,948,341.7

9,990,000

9,952,773.67

(4,431.97
)
19,498.08



0.388

0.699

JAJO

0.08

21,364.18

6/26/2012

4/25/2014

BRSHB4QM6

GENESYS TELECOM HOLDINGS US IN SENIOR
 
 
 
 
2,308,051.76

2,322,750.32

2,340,302.59

2,311,707.7

11,042.62

1,232.67



0.75

0.786

JJ

0.12

28,675.75

1/17/2013

1/22/2016

373334JV4

GEORGIA POWER COMPANY CORP BND
 
 
 
 
3,399,082

3,526,322.58

3,400,000

3,399,558.7

126,763.88

47.08



1.25

1.343

AO

1.35

51,000

10/10/2013

10/18/2016

373334KB6

GEORGIA POWER COMPANY SENIOR CORP BND
 
 
 
 
1,555,600.23

1,555,050.3

1,555,000

1,555,164.35

(114.05
)
(206.91
)


0.618

0.638

FMAN

1.09

2,257.29

10/30/2013

11/7/2016

BRSFPRNH8

GETTY IMAGES INC. SENIOR SECURED TERM
 
 
 
 
4,311,715.94

4,030,767.48

4,326,250.38

4,307,776.24

(277,008.76
)
742.9



3.125

2.352

FA

1.21

49,507.68

2/21/2013

2/15/2016

377372AD9

GLAXOSK CAP INC CORP BND
 
 
 
 
4,834,520

4,595,971.68

4,000,000

4,702,748.86

(106,777.18
)
(39,179.68
)


2.4

2.422

MS

2.07

113,000

5/15/2012

3/15/2017






377372AG2

GLAXOSK CAP INC SENIOR CORP BND
 
 
 
 
4,594,020

4,583,317.82

4,600,000

4,595,582.39

(12,264.57
)
503.77



1.1

1.238

JD

0.87


2/11/2013

12/1/2017

377373AC9

GLAXOSMITHKLINE CAPITAL PLC SENIOR CORP
 
F

 
 
6,277,383

6,302,490.26

6,300,000

6,284,640.62

17,849.64

1,125.26



1.05

1.062

MN

2.98

47,250

10/17/2013

11/1/2016

378272AD0

GLENCORE FUNDING LLC SENIOR CORP BND
 
R

 
 
2,636,803

2,565,765.78

2,650,000

2,638,056.85

(72,291.07
)
5,188.39



2.9

2.924

JJ

3.19

40,315.21

1/6/2011

1/15/2016

36297A3K7

GNMA
 
 
 
 
399,748.69

412,316.18

382,820.82

398,054.39

14,261.79

(255.16
)


5.25

1.003

JD

3.41

4,844.45

2/11/2013

12/15/2016

38376JSV7

GNMA AGENCY CMO 09-103
 
 
 
 
710,883.19

691,713.09

676,427.65

688,173.18

3,539.91

(9,801.92
)


0.666

0.728

MJSD

4.23

8,966.5

3/22/2011

3/25/2014

38377JEA7

GNMA AGENCY CMO 10-109 CH
 
 
 
 
624,496.98

619,812.46

607,136.66

623,950.92

(4,138.46
)
(1,706.17
)


0.596

0.619

JAJO

2.81

4,761.33

7/8/2013

7/11/2016

38376WSP1

GNMA AGENCY CMO 10-24
 
 
 
 
249,968.07

248,990.73

248,338.35

249,871.44

(880.71
)
(131.29
)


5.3

0.966

AO

0.67

448.81

3/1/2012

10/1/2015

38376YC58

GNMA AGENCY CMO 10-47
 
 
 
 
2,337,629.35

2,325,417.08

2,264,047.8

2,306,268.92

19,148.16

(11,351.44
)


3.35

0.862

AO

2.65

18,474.18

2/14/2013

4/1/2015

38374YGV9

GNMA AGENCY CMO 10-86
 
 
 
 
1,804,940.92

1,779,538.07

1,711,351.41

1,775,811.59

3,726.48

(10,923.8
)


1.875

1.887

JD

3.1

15,635.31

6/3/2013

6/1/2018

38376GZ29

GNMA CMBS_11-096 AB
 
 
 
 
2,259,728.82

2,250,159.64

2,237,355.26

2,244,955.56

5,204.08

(1,262.23
)


2.4

2.472

JD

2.11

12,206.21

5/29/2012

6/1/2017

38375PXQ9

GNMA CMO 08-11 FB
 
 
 
 
1,264,947.46

1,239,386.86

1,260,354.11

1,264,871.14

(25,484.28
)
(397.83
)


1.5

1.523

MN

0.91

2,571.23

11/8/2013

11/2/2017

38374JUS3

GNMA CMO_04-82 MA
 
 
 
 
854,012.75

813,071.24

803,245.14

814,039.75

(968.51
)
(9,934.52
)


1.625

1.239

AO

9.72

12,329.36

7/22/2013

10/15/2015

38374D2N8

GNMA CMO_08-36 AN
 
 
 
 
1,640,398.37

1,650,148.3

1,569,759.21

1,635,948.77

14,199.53

(9,812.56
)


1.35

1.117

JJ

6.06

7,747.49

11/8/2012

7/15/2017

38376CUM9

GNMA CMO_09-79 PA
 
 
 
 
4,639,309.72

4,456,352.6

4,366,088.1

4,430,124.34

26,228.26

(68,776.78
)


5.6

0.765

AO

17.02

59,847.72

1/2/2013

10/15/2014

38377MC61

GNMA CMO_10-147 MG
 
 
 
 
925,417.65

933,351.63

875,099.42

922,821.93

10,529.7

(2,044.5
)


5

0.784

MS

5.48

6,025.97

3/19/2013

3/1/2015

38377WZ56

GNMA CMO_11-99
 
 
 
 
4,889,819.24

4,903,381.09

4,881,429.31

4,889,183.59

14,197.5

(434.68
)


1.25

1.228

FA

1.6

7,251.74

8/6/2012

8/13/2015

36202EVU0

GNMA POOL # 004227
 
 
 
 
10,100.8

9,649.75

9,494.07

10,034.01

(384.26
)
(26.04
)


2.65

1.732

FA

4.12

108.27

1/14/2013

2/15/2017

36202E5P0

GNMA POOL # 004454
 
 
 
 
9,169.09

9,256.54

8,618.32

9,113.98

142.56

(44.09
)


2

2.049

AO

3.02

101.67

9/18/2012

10/1/2017

36202FAE6

GNMA POOL # 004505
 
 
 
 
31,583.49

31,709.1

29,686.34

31,396.78

312.32

(91.66
)


7.875

3.581

JD

3.16

346.87

2/17/2010

12/15/2015

36202FBR6

GNMA POOL # 004548
 
 
 
 
18,555.38

18,629.18

17,440.8

18,443.92

185.26

(113.87
)


3.125

1.08

AO

3.18

211.74

2/21/2013

10/1/2015

36202FD78

GNMA POOL # 004626
 
 
 
 
919,947.23

929,936.73

864,688.24

914,607.79

15,328.94

(3,257.63
)


3.125

1.392

JD

3.08

10,117.76

8/6/2013

6/15/2016

36202FET9

GNMA POOL # 004646
 
 
 
 
152,183.68

153,836.21

143,042.38

151,360.52

2,475.69

(440.68
)


0.65

0.634

MN

3.09

1,670.26

3/21/2013

11/15/2015

36202FFH4

GNMA POOL # 004668
 
 
 
 
563,300.01

569,416.76

529,463.95

560,254.24

9,162.52

(1,951.43
)


0.992

0.992

JAJO

3.1

6,241.77

11/6/2013

1/17/2017

36202FF43

GNMA POOL # 004687
 
 
 
 
412,664.61

417,145.61

387,876.82

410,428.85

6,716.76

(2,423.71
)


1.5

1.53

JJ

3.11

4,531.65

11/6/2013

1/17/2017

36202FZV1

GNMA POOL # 005256
 
 
 
 
4,080,637.02

3,987,882.18

3,805,898.72

4,064,496.48

(76,614.3
)
(20,553.13
)


1.375

1.489

MS

8.16

35,216.37

11/8/2012

9/15/2017

36202KME2

GNMA POOL # 008457
 
 
 
 
356,066.14

364,754.25

351,128.4

355,164.18

9,590.07

(236.17
)


2.15

2.175

MS

0.88

1,519.93

2/8/2012

3/1/2017

36225CD29

GNMA POOL # 080120
 
 
 
 
338,200.79

346,885.93

334,748.7

337,780.28

9,105.65

(108.07
)


2.375

3.045

MS

1.08

1,388.54

10/10/2013

3/15/2018

36225C6Y7

GNMA POOL # 080886
 
 
 
 
7,327,841.9

7,403,815.03

7,149,114.04

7,315,933.51

87,881.52

(6,652.4
)


2.25

0.76

JJ

1.26

29,741.63

10/18/2012

7/15/2016

36225DAS3

GNMA POOL # 080916
 
 
 
 
256,011.23

268,269.13

257,257.32

256,123.36

12,145.77

43.94



1

1.225

MN

1.19

1,072.35

7/15/2013

11/15/2017

36225DJA3

GNMA POOL # 081156
 
 
 
 
676,955.68

698,549.11

675,057.12

676,695.96

21,853.15

(50.52
)


5.25

1.621

JD

2.55

2,789.47

11/5/2013

12/6/2017

36225DJZ8

GNMA POOL # 081179
 
 
 
 
664,419.55

670,009.87

662,556.12

664,172.26

5,837.61

(61.31
)


0.85

0.859

AO

3.02

2,757.98

12/28/2012

10/9/2015

36225DLE2

GNMA POOL # 081224
 
 
 
 
393,994.68

412,305.71

395,850.23

394,150.75

18,154.96

94.79



6

5.395

FA

2.43

1,670.32

10/29/2009

8/7/2019

36225EVZ2

GNMA POOL # 082431
 
 
 
 
2,077,686.51

2,147,790.3

2,052,036.06

2,074,268.6

73,521.7

(1,639
)


2.25

3.162

MN

3.23

10,701.76

2/22/2012

11/9/2015

36225EWE8

GNMA POOL # 082444
 
 
 
 
354,925.84

364,919.21

347,540.6

354,620.83

10,298.38

(725.51
)


2.15

2.186

JJ

3.31

3,488.72

12/28/2012

1/9/2015






36204J4C7

GNMA POOL # 371719
 
 
 
 
217,392.55

224,153.46

204,604.76

214,592.23

9,561.23

(389.11
)


1

0.782

JD

4.55

3,382.23

2/12/2013

12/11/2015

36204SV60

GNMA POOL # 378737
 
 
 
 
189,922.3

207,454.92

178,750.38

187,413.29

20,041.63

(305.1
)


0.843

0.911

MJSD

3.27

2,945.12

12/5/2012

12/11/2015

36205BKY7

GNMA POOL # 385611
 
 
 
 
320,655.39

330,627.77

301,793.31

316,647.2

13,980.57

(549.51
)


2.1

2.073

JD

4.55

4,986.99

6/14/2013

12/11/2019

36210BZH1

GNMA POOL # 487744
 
 
 
 
492,522.87

501,775.22

465,880.34

489,571.34

12,203.88

(707.96
)


1

0.975

JJ

3.43

5,896.32

2/11/2013

1/8/2016

36210BZJ7

GNMA POOL # 487745
 
 
 
 
306,249.17

312,002.25

289,682.93

304,536.3

7,465.95

(723.32
)


1.5

1.511

JJ

3.43

3,705.64

7/9/2013

7/12/2016

36210B4N2

GNMA POOL # 487829
 
 
 
 
273,501.44

283,821.55

264,252.6

272,150.06

11,671.49

(781.03
)


0.894

0.919

JAJO

3.01

3,100.79

7/9/2013

7/12/2016

36210B4Q5

GNMA POOL # 487831
 
 
 
 
100,959.05

102,855.64

95,497.78

100,335.79

2,519.85

(90.64
)


0.537

0.601

JAJO

3.44

1,209.42

1/28/2013

1/29/2016

36210B4R3

GNMA POOL # 487832
 
 
 
 
369,765.1

381,104.83

353,842.2

367,654.36

13,450.47

(613.99
)


3

3.006

AO

3.44

4,590.64

4/12/2011

4/15/2016

36211V6Q8

GNMA POOL # 524779
 
 
 
 
206,136.13

212,616.74

197,407.04

204,991.54

7,625.2

(167.78
)


0.563

0.541

MJSD

3.41

2,504.07

6/18/2013

3/15/2016

36201YER3

GNMA POOL # 606844
 
 
 
 
899,238.36

943,955.73

858,173.42

896,704.57

47,251.16

(2,483.96
)


5.65

1.483

MN

3.89

11,135.32

2/20/2013

5/15/2018

36290SJB8

GNMA POOL # 615958
 
 
 
 
4,603,745.29

4,832,680.57

4,393,509.01

4,589,550.58

243,129.99

(17,738.42
)


0.7

0.744

MS

7.79

58,330.65

3/13/2013

3/18/2016

36292DWW8

GNMA POOL # 646061
 
 
 
 
151,582.35

164,006.14

145,359.18

151,229.67

12,776.47

(57.71
)


6

3.755

MN

5.24

2,371.53

10/29/2009

5/1/2014

36295KAT0

GNMA POOL # 672418
 
 
 
 
71,281.67

77,123.96

68,355.22

71,118.66

6,005.3

(1,127.01
)


3.7

2.955

FA

5.24

1,262.11

10/17/2012

8/1/2015

36295PZJ4

GNMA POOL # 676745
 
 
 
 
113,881.61

116,749.29

109,059.17

113,156.4

3,592.89

(106.67
)


1.6

1.274

MN

3.41

1,385.27

2/21/2013

11/23/2015

36295P4L3

GNMA POOL # 676827
 
 
 
 
281,112.19

288,018.51

269,047.1

279,648.98

8,369.53

(8,236.71
)


1.341

1.341

FMAN

6.88

5,330.3

11/12/2013

11/15/2018

36295QJE1

GNMA POOL # 677161
 
 
 
 
585,920.92

597,679.06

558,310.72

582,754.83

14,924.23

(5,104.92
)


5.125

4.401

JJ

3.48

8,063.29

1/19/2012

1/15/2015

36295TVQ4

GNMA POOL # 680223
 
 
 
 
75,799.27

82,011.81

72,687.34

75,632.05

6,379.76

(25.75
)


0.696

0.897

MJSD

5.25

1,186.27

10/29/2013

3/22/2016

36296A5Y6

GNMA POOL # 685863
 
 
 
 
61,261

59,688.14

57,564.29

60,777.44

(1,089.3
)
(593.7
)


3.3

3.056

MN

3.67

695.12

6/26/2013

5/3/2015

36296DR67

GNMA POOL # 688209
 
 
 
 
25,428.1

25,932.6

24,224.45

25,218.57

714.03

(41.91
)


2.375

2.426

JJ

3.46

309.83

6/25/2013

1/22/2018

36296E5H5

GNMA POOL # 689448
 
 
 
 
270,565.61

277,378.76

259,108.18

269,049.02

8,329.74

(217.19
)


1.436

1.476

JAJO

3.46

3,286.99

4/25/2013

4/30/2018

36296TPY3

GNMA POOL # 700739
 
 
 
 
322,400.71

330,406.13

305,344.36

320,206.84

10,199.29

(4,074.07
)


2.125

0.897

MN

3.76

4,877.09

8/28/2013

5/19/2016

36296UC73

GNMA POOL # 701294
 
 
 
 
238,370.14

245,606.88

228,037.2

237,036.02

8,570.86

(369.63
)


2.7

2.608

FA

3.41

2,917.17

1/20/2011

2/1/2014

36296URS1

GNMA POOL # 701697
 
 
 
 
373,842.47

380,865.34

353,619.84

371,531.15

9,334.19

(7,268.02
)


2.375

2.449

FA

3.42

5,057.41

2/8/2012

2/13/2015

36296UUL2

GNMA POOL # 701787
 
 
 
 
234,175.79

243,358.67

225,949.82

233,090.65

10,268.02

(138.79
)


1.625

1.684

JJ

3.43

2,860.75

12/13/2012

1/16/2018

36296UXG0

GNMA POOL # 701879
 
 
 
 
170,950.54

172,530.4

160,634.76

169,826.45

2,703.95

(674.56
)


2.625

2.662

MS

3.03

1,914.48

9/17/2013

9/24/2018

36296U3C2

GNMA POOL # 701995
 
 
 
 
159,153.05

163,160.7

152,413.52

158,133.7

5,027

(114.51
)


1.128

1.13

MJSD

3.54

1,929.73

9/17/2013

9/24/2018

36296XHH0

GNMA POOL # 704132
 
 
 
 
93,359.33

94,536.11

88,309.14

92,812.7

1,723.41

(96.67
)


2

2.015

FA

3.53

1,118.32

7/29/2013

8/1/2018

36296XLY8

GNMA POOL # 704243
 
 
 
 
417,341.11

433,706.54

402,681.01

415,462.4

18,244.14

(384.79
)


3.875

3.009

MS

3.41

5,099.91

10/27/2011

3/15/2016

36296XWP5

GNMA POOL # 704554
 
 
 
 
1,648,479.47

1,714,155.92

1,591,532.45

1,641,417.41

72,738.51

(1,008.18
)


1.5

1.549

MN

3.47

20,164.93

11/8/2011

11/1/2016

36297AKC6

GNMA POOL # 705991
 
 
 
 
60,531.42

61,090.84

56,878.74

60,099.01

991.83

(445.3
)


6.125

3.798

MS

2.98

696.78

10/26/2009

3/1/2014

36297AKF9

GNMA POOL # 705994
 
 
 
 
423,668.18

431,627.06

400,750.28

421,678.63

9,948.43

(1,420.66
)


0.638

0.654

FMAN

3.41

5,186.27

5/25/2011

5/30/2014

36297CV22

GNMA POOL # 708133
 
 
 
 
45,119.33

45,536.3

42,396.66

44,795.11

741.19

(733.27
)


2.6

2.603

MS

2.98

569.56

3/7/2012

9/15/2017

36297DFF9

GNMA POOL # 708566
 
 
 
 
1,321,066.52

1,345,883.59

1,249,604.76

1,313,554.68

32,328.91

(1,335.64
)


2.25

2.28

MS

3.44

15,849.24

9/3/2013

9/10/2018

36297DP35

GNMA POOL # 708842
 
 
 
 
32,176.88

32,474.26

30,235.22

31,970.73

503.53

(38.7
)


4

4.092

JD

3.03

344.31

12/1/2011

6/8/2017






36297DTR8

GNMA POOL # 708960
 
 
 
 
500,702.24

516,443.54

479,499.35

497,691.84

18,751.7

(649.19
)


1.95

1.982

AO

3.43

6,080.24

11/22/2013

10/1/2016

36297GCD0

GNMA POOL # 711168
 
 
 
 
463,661.96

467,858.01

435,682.95

461,078.51

6,779.5

(5,638.11
)


0.272

0.286

MJSD

3.12

5,511.3

9/5/2013

9/12/2018

36297G2R0

GNMA POOL # 711884
 
 
 
 
1,527,770.03

1,556,470.14

1,445,126.84

1,518,804.25

37,665.89

(2,126.64
)


0.687


FMAN

3.44

18,312.05

00/00/0000

00/00/0000

36297JJ54

GNMA POOL # 713184
 
 
 
 
1,178,709.77

1,200,852.55

1,114,948.63

1,171,561.78

29,290.77

(1,089.02
)


0.167

0.207

MON

3.44

14,125.63

9/4/2013

7/29/2015

36297KZF1

GNMA POOL # 714542
 
 
 
 
362,435.49

376,534.34

349,598.66

360,692.68

15,841.66

(197.96
)


1.95

0.764

JJ

3.47

4,424.11

2/27/2013

7/22/2016

3620A2KC9

GNMA POOL # 716791
 
 
 
 
979,534.34

997,935.47

926,547.38

973,415.61

24,519.86

(4,979.99
)


0.55

0.745

FA

3.44

12,521.39

5/1/2012

2/6/2015

3620A32R4

GNMA POOL # 718184
 
 
 
 
52,863.71

53,342.12

49,673.73

52,524.42

817.7

(34.15
)


1.25

1.342

FA

3.13

565.59

2/22/2012

2/6/2017

3620A5FJ3

GNMA POOL # 719369
 
 
 
 
655,753.29

659,750.43

614,378.73

652,191.7

7,558.73

(678.54
)


0.75

0.806

MN

3.14

7,004.46

5/8/2012

5/11/2015

3620A6AC1

GNMA POOL # 720103
 
 
 
 
598,476.75

633,002.74

588,183.52

597,791.66

35,211.08

(339.86
)


1.25

1.345

FA

3.82

6,769.09

2/5/2013

2/8/2018

3620A6DZ7

GNMA POOL # 720220
 
 
 
 
1,095,351.02

1,123,232.36

1,042,881.06

1,088,017.07

35,215.29

(944.74
)


0.267

0.295

JAJO

3.48

13,211.77

7/29/2013

7/29/2015

3620A7RQ0

GNMA POOL # 721495
 
 
 
 
389,286.89

392,809.85

365,795.92

386,705

6,104.85

(1,793.71
)


1.371

0.738

MJSD

3.11

4,291.47

6/14/2013

9/22/2015

3620A7R64

GNMA POOL # 721509
 
 
 
 
301,458.06

304,186.2

283,267.01

299,498.58

4,687.62

(854.73
)


1.038

1.103

JAJO

3.12

3,291.55

1/14/2011

1/24/2014

3620A9MU2

GNMA POOL # 723171
 
 
 
 
31,693.2

31,986.1

29,780.72

31,466.06

520.04

(101.19
)


1.875

1.899

MS

3.08

347.56

3/14/2012

3/20/2015

3620A9QJ3

GNMA POOL # 723257
 
 
 
 
448,629.01

452,775.12

421,557.14

445,327.89

7,447.23

(1,578.71
)


0.904

0.737

JAJO

3.07

4,949.48

3/25/2013

10/15/2015

3620A9WS6

GNMA POOL # 723457
 
 
 
 
473,594.36

477,971.21

445,016.01

470,524.57

7,446.64

(1,383.83
)


1.125

1.166

FA

3.1

5,166.78

2/21/2013

2/26/2016

3620A9WW7

GNMA POOL # 723461
 
 
 
 
247,020.36

249,303.24

232,114.26

245,512.8

3,790.44

(859.49
)


0.857

0.908

FMAN

3.1

2,722.78

2/21/2013

2/26/2016

3620A9ZN4

GNMA POOL # 723549
 
 
 
 
666,224.52

672,253.72

626,022.16

661,870.15

10,383.57

(996.63
)


4.75

3.908

MS

3.11

7,146.64

10/29/2009

3/1/2015

3620ADCM2

GNMA POOL # 726476
 
 
 
 
5,739,010.02

5,851,326.17

5,447,888.46

5,699,107.95

152,218.22

(29,813.4
)


6

1.763

JJ

6.18

65,854.21

5/16/2013

1/15/2018

3620AFY35

GNMA POOL # 728930
 
 
 
 
82,361.65

83,122.82

77,391.66

81,850.3

1,272.52

(237.86
)


3.7

3.515

JJ

3.1

908.15

3/18/2010

1/20/2015

3620AKQR0

GNMA POOL # 732264
 
 
 
 
150,279.42

151,639.4

141,211.01

149,355.35

2,284.05

(958.85
)


3.45

1.097

MS

3.14

1,750.8

3/8/2013

3/1/2016

3620AKR57

GNMA POOL # 732308
 
 
 
 
43,863.01

44,259.96

41,216.16

43,614.59

645.37

(39.62
)


3.15

1.46

JJ

3.14

468.75

4/11/2013

7/5/2016

3620AL5N0

GNMA POOL # 733553
 
 
 
 
366,435.68

369,751.86

344,323.65

364,367.5

5,384.36

(2,585.33
)


1.138

1.201

JAJO

3.14

4,129.15

1/17/2013

1/25/2018

3620AQG72

GNMA POOL # 736522
 
 
 
 
438,039.41

442,003.57

411,606.54

435,553.38

6,450.19

(1,430.42
)


1.8

2.122

JJ

3.14

4,793.96

10/1/2013

1/25/2018

3620AQHC0

GNMA POOL # 736527
 
 
 
 
162,212.27

163,680.27

152,423.81

161,147.36

2,532.91

(1,422.99
)


1.625

1.795

MN

3.14

1,869.42

11/26/2013

5/15/2018

3620AQXC2

GNMA POOL # 736975
 
 
 
 
289,618.6

292,239.59

272,141.98

287,893.42

4,346.17

(1,993.84
)


2.95

3.15

MS

3.12

3,308.4

8/12/2010

9/1/2020

3620AQ5X7

GNMA POOL # 737162
 
 
 
 
272,645.2

275,112.59

256,192.82

270,974.91

4,137.68

(552.16
)


2.15

0.726

MN

3.14

2,958.59

8/13/2012

5/15/2016

3620AQ6A6

GNMA POOL # 737165
 
 
 
 
872,189.34

880,082.47

819,558.32

867,144.18

12,938.29

(4,619.3
)


0.311

0.311

FMAN

3.14

9,838.32

12/2/2013

11/28/2016

3620ASPY9

GNMA POOL # 738539
 
 
 
 
3,891,585.39

3,772,813.23

3,622,712.2

3,884,445.88

(111,632.65
)
(8,818.46
)


0.7

0.741

MN

10.99

37,040.42

12/2/2013

11/28/2016

3620AWE48

GNMA POOL # 741855
 
 
 
 
157,692.81

159,119.91

148,177.07

156,773.82

2,346.09

(590.67
)


2

1.643

FA

3.15

1,770.16

4/8/2013

8/15/2017

3620AWE63

GNMA POOL # 741857
 
 
 
 
155,286.6

156,691.92

145,916.06

154,433.45

2,258.47

(158.78
)


0.469

0.522

FMAN

3.15

1,661.97

2/11/2013

2/13/2015

36225BPY8

GNMA POOL # 781339
 
 
 
 
223,752.21

231,012.94

202,720

221,735.16

9,277.78

(852.42
)


1.625

0.812

JD

6.2

4,158.24

2/26/2013

6/4/2015

36241KBP2

GNMA POOL # 781846
 
 
 
 
3,242,525.78

3,594,696.96

3,140,460.8

3,235,163.97

359,532.99

(4,649.36
)


2.25

1.396

JD

9.85

52,571.41

1/16/2013

6/5/2017

36241KEC8

GNMA POOL # 781931
 
 
 
 
2,163,713.9

2,392,073.19

2,095,606.68

2,159,071.34

233,001.85

(4,101.17
)


3.3

3.339

JJ

9.99

35,333.72

12/16/2013

1/15/2021

36241KEH7

GNMA POOL # 781936
 
 
 
 
1,256,298.89

1,298,389.72

1,215,099.43

1,253,928.45

44,461.27

(3,887.11
)


4.95

3.932

FA

7.59

14,416.9

8/8/2013

2/15/2021






36241KGU6

GNMA POOL # 782011
 
 
 
 
117,248.73

125,736.69

114,738.76

117,094.85

8,641.84

(159.08
)


0.95

0.743

JD

4.03

1,487.99

2/25/2013

12/4/2015

36241KKB3

GNMA POOL # 782090
 
 
 
 
2,539,331.75

2,737,085.8

2,443,133.4

2,532,036.34

205,049.46

(4,959.91
)


3

0.585

MS

10.51

41,169.04

7/23/2013

3/15/2015

36241K6L7

GNMA POOL # 782675
 
 
 
 
36,464.61

36,801.59

34,264.19

36,267.37

534.22

(151.11
)


2.625

0.833

MS

3.04

400.75

2/25/2013

3/15/2016

36241LHQ2

GNMA POOL # 782939
 
 
 
 
3,916,792.48

4,107,358.23

3,737,926.82

3,907,603.68

199,754.55

(16,427.42
)


1.375

1.406

AO

8.06

49,822.8

3/19/2013

4/1/2018

36241LN36

GNMA POOL # 783110
 
 
 
 
922,217.56

945,776.37

851,687.2

919,512.41

26,263.96

(4,829.65
)


4.75

2.871

MS

4.37

12,221.65

2/17/2010

3/1/2015

36179MEL0

GNMA POOL # MA0139
 
 
 
 
4,244,958.51

4,112,888.29

4,006,449.55

4,232,176.66

(119,288.37
)
(9,487.46
)


0.7

0.693

MN

2.58

30,797.96

11/26/2013

5/18/2016

36179MK82

GNMA POOL # MA0319
 
 
 
 
201,902.78

191,606.34

183,782.91

201,607.08

(10,000.74
)
(1,065.86
)


1.3

1.348

MN

3.66

1,908.59

5/15/2013

5/18/2018

36179MNJ5

GNMA POOL # MA0393
 
 
 
 
2,483,307.97

2,361,116.52

2,264,710.32

2,480,391.5

(119,274.98
)
(13,692.58
)


0.598

0.528

FMAN

7.32

23,615.88

11/14/2013

5/18/2018

36179MQN3

GNMA POOL # MA0461
 
 
 
 
1,979,045.06

1,801,912.8

1,859,349.46

1,976,847.03

(174,934.23
)
(2,436.17
)


2.95

0.499

JD

3.26

14,117.72

3/26/2012

6/1/2014

380881BX9

GOLDEN CREDIT CARD TRUST GCCT_ ABS_13-1A
 
A

 
 
1,100,000

1,098,111.3

1,100,000

1,100,000

(1,888.7
)



1

1.013

MN

0.5

1,180.31

4/25/2013

5/1/2018

38141EA33

GOLDMAN SACHS GROUP INC CORP BND
 
 
 
 
819,037.5

763,140

750,000

755,478.54

7,661.46

(4,151.49
)


4.65

2.512

AO

0.72

22,500

11/8/2012

10/1/2014

38141EA74

GOLDMAN SACHS GROUP INC CORP BND
 
 
 
 
2,262,884

2,304,295.21

2,212,000

2,237,183.33

67,111.88

(3,903.21
)


2.4

2.411

MS

2.07


9/12/2013

3/15/2019

38141GEG5

GOLDMAN SACHS GROUP INC CORP BND
 
 
 
 
2,488,200

2,491,424.95

2,500,000

2,489,019.92

2,405.03

819.92



4

3.746

JJ

0.85

2,528.19

10/15/2010

7/24/2015

38141GEA8

GOLDMAN SACHS GROUP INC CORP BND
 
 
 
 
4,431,536

4,512,782.85

4,325,000

4,356,431.73

156,351.12

(7,344.47
)


1.85

1.879

MN

1.83


11/4/2013

11/15/2018

38141GGT5

GOLDMAN SACHS GROUP INC SENIOR CORP BND
 
 
 
 
1,631,678.75

1,674,221.25

1,625,000

1,630,117.29

44,103.96

(955.56
)


1.488

1.336

FMAN

2.03

26,812.5

4/22/2013

2/25/2016

38141EB32

GOLDMAN SACHS GROUP INC SENIOR CORP BND
 
 
 
 
2,017,500

2,021,106.26

2,000,000

2,012,150.38

8,955.88

(1,594.53
)


2.125

2.14

AO

1.04

16,000

4/22/2013

4/25/2018

38141EB73

GOLDMAN SACHS GROUP INC SENIOR CORP BND
 
 
 
 
3,000,000

3,007,050.03

3,000,000

3,000,000

7,050.03




1.75

1.815

FA

1.29


2/20/2013

2/25/2016

38141GVK7

GOLDMAN SACHS GROUP INC SENIOR CORP BND
 
 
 
 
5,350,000

5,413,183.07

5,350,000

5,350,000

63,183.07




6

3.302

MN

2.32

20,029.8

1/6/2011

5/13/2014

38141GRC0

GOLDMAN SACHS GROUP INC SENIOR CORP BND
 
 
 
 
6,237,505

6,258,933.06

6,250,000

6,236,688.51

22,244.55

(419.77
)


1.838

1.903

JAJO

4.68

22,364.58

1/20/2011

1/24/2014

38259PAC6

GOOGLE CORP BND
 
 
 
 
2,065,620

2,066,484.38

2,000,000

2,057,725.35

8,759.03

(6,061.17
)


5.625

3.238

MS

0.72

21,250

2/11/2013

9/23/2019

BRSDWEX75

GRIFOLS INC SECURED TERM LOAN
 
 
 
 
4,136,016.75

4,176,845.69

4,154,577.16

4,141,647.35

35,198.34

1,016.96



4.75

2.271

MS

(0.15
)
45,273.19

2/13/2013

3/22/2017

362341RT8

GSR_05-6F WHOLE CMO 05-AR6 1A1
 
 
 
 
127,460.81

128,800.06

128,727.97

127,670.48

1,129.58

66.21



7.875

1.685

JJ

2.66

891.06

5/30/2013

7/15/2020

BRSBK2348

GYMBOREE CORP TERM LOAN
 
 
 
 
2,306,473.92

2,277,981.8

2,441,776.14

2,350,569.65

(72,587.85
)
5,373.02



0.9

0.889

JJ

1.66

30,861.33

3/13/2013

1/20/2016

406216BC4

HALLIBURTON COMPANY SENIOR CORP BND
 
 
 
 
499,645

499,175.99

500,000

499,672.11

(496.12
)
16.74



0.788

0.816

JAJO

2.04


7/18/2013

7/25/2016

44921SAC6

HALST_13-A ABS 13-A 144A
 
 
 
 
3,069,399.05

3,070,169.27

3,069,493.89

3,069,440.45

728.82

17.92



1

1.108

FA

0.48

4,495.59

1/26/2012

2/2/2015

41283LAA3

HARLEY-DAVIDSON FINANCIAL CORP BND 144A
 
 
 
 
2,329,200

2,374,743.92

2,250,000

2,291,189.57

83,554.35

(4,595.24
)


0.488

0.523

FMAN

1.32


5/21/2013

5/27/2016

41283YAC1

HARLEY-DAVIDSON MOTORCYCLE TRU ABS 13-1
 
 
 
 
1,759,995.08

1,757,008.04

1,760,000

1,759,991.53

(2,983.49
)
(2.06
)


3.65

1.34

AO

1.45

2,859.99

6/7/2012

4/30/2015

43814EAC9

HAROT 2013-2 ABS 13-2 A3
 
 
 
 
4,504,576.53

4,491,349.81

4,505,000

4,504,687.62

(13,337.81
)
39.4



0.929

0.95

JAJO

1.44

5,969.13

3/20/2013

4/15/2018

43813TAD5

HAROT_11-1 ABS_11-1 A4
 
 
 
 
1,830,926.8

1,838,337.26

1,831,414.51

1,831,378.94

6,958.32

32.68



2.9

1.569

AO

1.58

9,575.51

7/18/2013

4/24/2015

43813UAC4

HAROT_12-3 ABS 12-1
 
 
 
 
2,297,162.79

2,300,792.53

2,297,300.63

2,297,239.12

3,553.41

14.71



3.2

3.214

MS

0.62

5,085.69

9/9/2013

9/15/2018

43814CAC3

HAROT_13-1 ABS 13-1
 
 
 
 
2,996,718.75

2,996,729.97

3,000,000

2,997,952.05

(1,222.08
)
374.5



1.2

1.569

AO

0.55

3,600

9/10/2013

10/15/2017

43812XAB1

HAROT_13-3 ABS 13-3 A2
 
 
 
 
474,992.92

475,479.74

475,000

474,993.98

485.76

0.62



2.375

2.443

JJ

0.44

641.25

7/9/2013

1/15/2019

43812XAC9

HAROT_13-3 ABS 13-3 A3
 
 
 
 
3,464,437.28

3,467,668.15

3,465,000

3,464,538.03

3,130.12

58.62



0.824

0.851

JAJO

2.17

6,670.14

7/9/2013

1/15/2019

44890GAD7

HART_12-A ABS 12-A
 
 
 
 
4,259,591.04

4,284,793.24

4,260,000

4,259,798.28

24,994.96

41.29



1.2

1.248

AO

0.56

10,117.5

9/16/2013

10/15/2016






44890KAC0

HART_12-C ABS 12-C
 
 
 
 
2,199,722.58

2,197,800.04

2,200,000

2,199,852.4

(2,052.36
)
27.9



0.8

0.807

JJ

0.59

2,915.01

1/23/2013

1/28/2016

44890JAB5

HART_13-A ABS 13-A
 
 
 
 
1,601,929.08

1,602,113.43

1,602,033.37

1,601,989.12

124.31

26.59



0.548

0.611

JAJO

0.79

1,949.8

1/23/2013

1/28/2016

44890QAC7

HART_13-C ABS 13-C A3
 
 
 
 
1,499,732.85

1,506,000.03

1,500,000

1,499,762.84

6,237.19

26.2



0.557

0.596

JAJO

0.82

3,661.25

8/7/2013

4/29/2016

419791YG7

HAWAII ST MUNI BND GO
 
 
 
 
2,007,940

2,052,040

2,000,000

2,001,831.62

50,208.38

(413.96
)


1.3

1.33

AO

0.59


8/20/2013

10/3/2016

BRSJ76A64

HCE-THE HEALTHCARE COMPANY SENIOR
 
 
 
 
1,709,930.28

1,745,083.86

1,745,625

1,713,998.48

31,085.38

2,516.63



0.491

0.718

MJSD

0.01

13,408.17

6/5/2012

6/5/2014

BRSJ4FFC9

HCE-THE HEALTHCARE COMPANY SENIOR
 
 
 
 
1,946,578.86

1,994,581.05

1,995,000

1,950,008.62

44,572.43

2,706.09



2.45

2.482

MN


14,926.14

11/5/2013

11/15/2018

40414LAB5

HCP CORP BND
 
 
 
 
2,982,845.25

2,979,313.75

2,975,000

2,975,226.6

4,087.15

(672.51
)


0.509

0.561

FMAN

0.95


7/11/2013

2/8/2016

BRSHYLWT1

HDTFS INC SENIOR SECURED TERM NOTES
 
 
 
 
7,836,826.94

7,910,862.38

7,925,683.41

7,844,309.14

66,553.24

4,804.26



0.75

0.782

MN

0.04

60,916.63

8/15/2013

5/16/2016

BRSD9CAS4

HEALTH MGMT ASSOC INC TERM LOAN
 
 
 
 
5,787,057.91

5,823,902.83

5,828,040.74

5,797,404.15

26,498.68

1,676.2



0.842

0.842

MJSD

0.01

52,261.57

12/3/2013

12/6/2018

429827AN8

HEF_04-1 ABS 04-1 A13 144A
 
 
 
 
164,000

180,184.8

200,000

171,959

8,225.8

229.31



2.5

2.52

JJ

2.43

1,017.68

7/10/2012

7/11/2014

429827AQ1

HEF_04-1 ABS 04-1 A15 144A
 
 
 
 
246,000

270,217.5

300,000

251,697.95

18,519.55

282.31



2.5

2.377

MS

2.13

1,098.67

2/21/2013

3/15/2016

429827AB4

HEF_04-1 ABS 04-1 A2 144A
 
 
 
 
164,000

181,865.8

200,000

176,279.69

5,586.11

159



0.75

0.765

MS

2.3

1,026.92

2/29/2012

3/5/2015

429827AF5

HEF_04-1 ABS 04-1 A6 144A
 
 
 
 
164,000

187,575.4

200,000

175,558.21

12,017.19

(0.08
)


0.7

0.713

FA

2.07

1,016.89

2/25/2013

2/26/2016

423012AC7

HEINEKEN N.V. SENIOR CORP BND 144A
 
F

 
 
2,123,848.83

2,125,517.99

2,125,000

2,124,338.03

1,179.96

95.7



5.35

2.971

MS

1.57

7,954

2/17/2010

3/15/2015

423012AB9

HEINEKEN N.V. SENIOR CORP BND 144A
 
F

 
 
5,987,624.98

5,908,317.08

6,025,000

5,990,135.47

(81,818.39
)
1,670.29



0.447

0.494

FMAN

7.75

21,722.36

6/27/2013

2/26/2016

427866AS7

HERSHEY COMPANY THE CORP BND
 
 
 
 
1,321,912.75

1,323,686.65

1,325,000

1,323,208.84

477.81

156.24



1.5

1.512

JD

4.61

9,937.5

5/28/2013

6/15/2018

428236BJ1

HEWLETT-PACKARD CO CORP BND
 
 
 
 
710,000

710,156.22

710,000

710,000

156.22




0.287

0.337

FMAN

0.58

7,288.25

2/26/2013

2/26/2015

428236AT0

HEWLETT-PACKARD CO CORP BND
 
 
 
 
2,260,758

2,067,568.71

2,050,000

2,057,631.96

9,936.75

(20,741.88
)


6.875

2.747

MS

0.96

44,742.27

3/4/2013

3/17/2014

428236BW2

HEWLETT-PACKARD CO UNSEC CORP BND
 
 
 
 
1,874,718.75

1,912,416.75

1,875,000

1,874,808.48

37,608.27

12.52



1.875

2.034

JJ

2.04


11/4/2013

1/15/2019

BRSJLE1E4

HGIM CORP SENIOR SECURED TERM NOTES
 
 
 
 
827,706.5

845,231.63

837,900

828,251.45

16,980.18

940.09



1.95

0.894

MS

(1.91
)
25,422.53

1/24/2013

3/5/2015

429827AJ7

HIGHER EDUCATION FUNDING HEF_0 ABS 04-1
 
 
 
 
164,224

180,326.4

200,000

171,552.95

8,773.45

252.91



0.75

0.771

FA

2.36

764.5

2/13/2013

2/21/2016

429827AE8

HIGHER EDUCATION FUNDING HEF_0 ABS 04-1
 
 
 
 
164,000

180,617.6

200,000

172,191.18

8,426.42

271.47



2.95

1.542

MN

2.35

721.39

1/24/2013

5/1/2017

429827AK4

HIGHER EDUCATION FUNDING HEF_0 ABS_04-1
 
 
 
 
164,196

180,264

200,000

171,836.24

8,427.76

401.68



1.25

1.281

JJ

2.37

763.74

12/17/2012

1/15/2018

BRSKM1X29

HILTON WORLDWIDE FINANCE LLC SENIOR
 
 
 
 
5,743,506.59

5,815,661.19

5,772,368.43

5,744,206.06

71,455.13

11,422.27



1.45

0.68

FA

(0.11
)
26,405.81

11/13/2013

8/15/2016

437076BB7

HOME DEPOT INC SENIOR CORP BND
 
 
 
 
1,972,215.25

1,998,958.21

1,975,000

1,972,380.37

26,577.84

134.43



5.625

0.962

JJ

1.97


11/6/2013

1/15/2016

43813EAD8

HONDA AUTO RECEIVABLES OWNER T ABS 12-2
 
 
 
 
1,599,694.08

1,607,776

1,600,000

1,599,856.84

7,919.16

24.36



0.85

0.881

FA

2.06

3,639.99

9/12/2011

8/15/2014

438670Q20

HONOLULU HAWAII CITY & CNTY MUNITAX BND
 
 
 
 
1,500,000

1,479,555

1,500,000

1,500,000

(20,445
)



2.3

2.306

MS

1.63

9,442.5

9/9/2013

9/15/2018

BRSGWZF97

HOUGHTON INTERNATIONAL INC SENIOR
 
 
 
 
982,421.64

990,000

990,000

982,730.7

7,269.3

324.87



3.5

3.533

JD


10,145.56

5/17/2011

6/1/2017

BRSJDG9F7

HOYTS GROUP HOLDINGS LLC SENIOR SECURED
 
F

 
 
861,321.75

868,896.19

865,650

861,674.27

7,221.92

165.79



5.1

3.392

MS

(0.06
)
8,871.1

11/12/2010

9/15/2014

404225BD5

HSART_13-T3 ABS_13-T3 A3 144A
 
 
 
 
849,997.28

831,640

850,000

849,991.67

(18,351.67
)
(2.11
)


2.45

1.374

JJ

1.95

3,810.54

12/9/2013

1/15/2017

44328MAL8

HSBC BANK PLC CORP BND 144A
 
F

 
 
4,685,175

4,716,077.72

4,500,000

4,653,144.39

62,933.33

(15,753.73
)


0.932

0.943

FMAN

1.07

69,750

8/6/2013

8/1/2018

G463NBBT9

HSBC BANK PLC SENIOR CORP BND
 
F

 
 
3,693,081

3,558,359.71

3,700,000

3,693,924.15

(135,564.44
)
338.31



2.5

1.249

JJ

2.43

27,750

9/19/2013

1/15/2016

44328MBT0

HSBC BANK PLC SENIOR CORP BND 144A
 
F

 
 
10,549,697.5

10,355,948.43

10,750,000

10,562,005.23

(206,056.8
)
10,355.27



4.2

0.536

FA

7.16

80,625

9/24/2013

2/1/2015

G463AQPM0

HSBC BANK PLC SENIOR LOCAL BND EMTN
 
D

 
 
1,557,432.87

1,662,048.38

1,000,000

1,557,416.32

104,632.06

(16.55
)

99,174.29

1.5

1.564

FA

0.78

3,118.8

12/10/2012

2/1/2018






40428HPG1

HSBC BANK USA INC SENIOR CORP BND
 
 
 
 
1,596,592

1,628,206.4

1,600,000

1,598,702.72

29,503.68

285.68



2.2

2.207

JD

0.79


11/18/2013

12/1/2018

40428HPJ5

HSBC BANK USA INC SENIOR CORP BND
 
 
 
 
938,383.2

956,239.3

940,000

938,466.46

17,772.84

77.38



1.35

1.37

MN

4.48


5/8/2013

5/15/2018

40428HPH9

HSBC BANK USA INC SENIOR CORP BND
 
 
 
 
6,072,582.6

5,992,945.74

6,090,000

6,076,033.4

(83,087.66
)
832.28



0.592

0.66

MJSD

4.08


3/2/2011

3/7/2014

40428HPK2

HSBC BANK USA INC SENIOR CORP BND
 
 
 
 
6,250,000

6,258,746.32

6,250,000

6,250,000

8,746.32




2

0.768

MS

3.3

17,846.11

11/14/2013

9/30/2016

BRSBXUEK4

HUBBARD RADIO TERM LOAN
 
 
 
 
2,076,329.89

2,089,545.1

2,081,738.58

2,076,463.33

13,081.77

2,234.24



0.55

0.78

JD

(0.07
)
32,867.86

6/6/2012

6/12/2015

BRS8R3U20

HUNTSMAN INTL LLC TERM LOAN
 
 
 
 
343,047.58

346,256.88

346,950.78

345,042.75

1,214.13

15,510.09



0.416

0.306

JAJO

0.08

24,116.68

2/26/2013

7/18/2014

4488148U0

HYDRO-QUEBEC SENIOR CORP BND
 
A

 
 
4,994,200

5,018,849.95

5,000,000

4,995,938.74

22,911.21

287



0.45

0.569

FA

1.26

34,375

1/28/2013

8/3/2015

44890FAC1

HYUNDAI AUTO LEASE SECURITIZAT ABS_12-A
 
 
 
 
3,499,626.55

3,507,665.07

3,500,000

3,499,877.08

7,787.99

37.85



1

1.193

MN

0.65

8,049.99

5/1/2013

5/1/2018

44890HAC7

HYUNDAI AUTO RECEIVABLES TRUST ABS 12-B
 
 
 
 
4,953,155.09

4,957,516.59

4,953,999.25

4,953,679.3

3,837.29

83.11



2.25

2.287

FA

0.57

7,749.99

8/9/2011

8/15/2016

44890LAB0

HYUNDAI AUTO RECEIVABLES TRUST ABS_13-B
 
 
 
 
509,997.65

510,295.79

510,000

509,996.42

299.37

(0.34
)


1.3

1.319

FA

0.48

675.75

12/4/2013

2/1/2017

44890LAC8

HYUNDAI AUTO RECEIVABLES TRUST ABS_13-B
 
 
 
 
1,424,920.44

1,423,404

1,425,000

1,424,960.04

(1,556.04
)
13.35



2.4

2.442

FA

2.31

2,346.47

12/4/2013

2/1/2019

44920UAC2

HYUNDAI CAP SVC CORP BND 144A
 
F

 
 
2,982,210

3,191,864.16

3,000,000

2,991,144.82

200,719.34

806.64



1.375

1.551

MS

1.82


9/26/2011

9/29/2016

44923QAB0

HYUNDAI CAPITAL AMERICA CORP BND 144A
 
 
 
 
1,991,020

2,098,321.22

2,000,000

1,994,161.82

104,159.4

395.99



2

1.58

MS

2.5

40,000

4/5/2013

9/15/2016

BRSHH3U39

IASIS HELTHCARE CORP SENIOR SECURED TERM
 
 
 
 
7,148,646.29

7,312,200.66

7,257,767.4

7,166,188.28

146,012.38

5,324.23



1.75

1.277

MN

(5.21
)
83,675.09

2/13/2013

5/22/2017

4521518V8

ILLINOIS ST MUNI BND GO
 
 
 
 
2,300,000

2,369,069

2,300,000

2,300,000

69,069




0.409

0.472

JAJO

5.55


1/17/2013

1/23/2015

452227FG1

ILLINOIS ST SALES TAX REV MUNITAX BND
 
 
 
 
4,100,000

4,028,619

4,100,000

4,100,000

(71,381
)



0.8

0.814

MN

4.17

31,980

5/14/2013

5/17/2016

BRSFNCAU8

IMMUCOR INC. SENIOR SECURED TERM NOTES
 
 
 
 
2,837,774.5

2,945,451.57

2,932,986.38

2,854,478.4

90,973.17

4,375.27



0.393

0.369

MJSD

(0.09
)
37,552.82

11/27/2013

9/18/2015

BRSHC7CJ0

IMS HEALTH INCORPORATED SENIOR SECURED
 
 
 
 
10,179,563.48

10,223,044.5

10,192,771.96

10,179,973.96

43,070.54

410.48



2

2.005

AO

(0.08
)
45,421.9

10/21/2013

10/24/2018

BRSEKNUF1

INEOS US FINANCE LLC SENIOR SEC TERM
 
 
 
 
3,062,282.14

3,084,577.5

3,076,885.28

3,063,405.66

21,171.84

817.66



0.85

1.178

FA

(0.76
)
31,532.44

6/19/2013

8/2/2017

BRSFTR0V8

INFOR US INC SENIOR SECURED TERM NOTES
 
 
 
 
713,370.9

721,659.48

720,010.66

714,883.81

6,775.67

302.18



3.875

2.478

AO

(0.05
)
9,660.14

12/14/2011

4/1/2014

BRSJFKKC0

INFOR US INC SENIOR SECURED TERM NOTES
 
 
 
 
1,050,326.38

1,047,700.56

1,050,326.38

1,050,326.38

(2,625.82
)



2.2

2.424

MS

0.04

10,065.62

9/3/2013

3/6/2019

449786AN2

ING BANK NV CORP BND 144A
 
F

 
 
2,375,000

2,387,872.5

2,375,000

2,375,000

12,872.5




2.45

2.471

JJ

0.84

9,951.25

7/22/2010

7/27/2015

449786AR3

ING BANK NV CORP BND 144A
 
F

 
 
3,714,234.75

3,786,515.44

3,725,000

3,718,714.71

67,800.73

907.08



1.95

1.976

MN

2.07


11/4/2013

11/15/2018

BRSDJVYW6

ING BANK NV SENIOR BND CORP EMTN
 
D

 
 
1,739,707.38

1,744,592.72

1,000,000

1,737,215.76

7,376.96

(2,491.62
)

19,301.81

0.728

0.728

FMAN

4

3,304.16

11/4/2013

11/15/2018

449786AX0

ING BANK NV SENIOR CORP BND 144A
 
F

 
 
748,440

750,950.95

750,000

748,860.17

2,090.78

130.73



0.739

0.661

MJSD

1.32


6/20/2013

6/1/2015

449786AW2

ING BANK NV SENIOR CORP BND 144A
 
F

 
 
8,120,000

8,194,054.64

8,120,000

8,120,000

74,054.64




1.8

1.818

JD

1.55

24,766

11/8/2012

6/1/2017

45687AAK8

INGERSOLL-RAND GLOBAL HOLDING SENIOR
 
F

 
 
4,014,240

3,988,295

4,000,000

4,014,170.44

(25,875.44
)
(69.56
)


5.55

0.973

FA

2.94

(56,541.67
)
3/13/2013

2/15/2016

458140AH3

INTEL CORP CORP BND
 
 
 
 
1,797,246

1,853,912.66

1,800,000

1,798,466.75

55,445.91

137.3



5.5

1.654

AO

0.85

17,550

11/8/2013

4/1/2017

BRSLBJCQ0

INTELSAT JACKSON SENIOR SECURED TERM
 
F

 
 
492,457.4

495,766.71

492,457.4

492,457.4

3,309.31




2

1.031

MN

(1.63
)

4/11/2013

11/1/2016

458182DT6

INTER-AMERICAN DEV BANK CORP BND
 
E

 
 
7,150,000

7,143,421.79

7,150,000

7,150,000

(6,578.21
)



1.1

1.144

MN

0.87

5,148

11/2/2012

11/1/2017

45818WAR7

INTER-AMERICAN DEV BANK SENIOR CORP BND
 
E

 
 
4,997,748

4,995,850

5,000,000

4,998,112.39

(2,262.39
)
302.02



2.5

2.355

MS

0.44

2,160.7

11/5/2013

9/15/2016

459200GX3

INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
2,598,825

2,571,006.98

2,500,000

2,574,928.56

(3,921.58
)
(7,244.05
)


3.65

3.651

MS

0.83


9/11/2013

9/14/2018

459200HC8

INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
3,260,491.75

3,255,447.76

3,275,000

3,265,897.93

(10,450.17
)
718.06



4.9

3.21

MS

5.79


2/17/2010

9/15/2015

459200HB0

INTERNATIONAL BUSINESS MACHINE CORP BND
 
 
 
 
4,127,963.5

4,155,178.37

4,150,000

4,141,169.7

14,008.67

2,000.66



4.5

3.307

MS

0.44


12/11/2013

9/15/2020






459200HN4

INTERNATIONAL BUSINESS MACHINE SENIOR
 
 
 
 
650,000

650,006.49

650,000

650,000

6.49




2.875

3.025

AO

0.27

474.05

3/24/2010

4/1/2015

459200HK0

INTERNATIONAL BUSINESS MACHINE SENIOR
 
 
 
 
1,149,710.1

1,133,683.54

1,155,000

1,150,633.21

(16,949.67
)
258.31



4.5

0.443

JJ

3.44


9/13/2012

7/1/2015

459200HD6

INTERNATIONAL BUSINESS MACHINE SENIOR
 
 
 
 
4,542,447

4,566,281.72

4,550,000

4,546,556.12

19,725.6

635.34



1.2

1.186

JJ

0.49

17,062.5

2/27/2013

1/15/2018

45950VCP9

INTERNATIONAL FINANCE CO CORP BND
 
E

 
 
4,027,303.56

4,016,008.39

4,034,000

4,027,590.91

(11,582.52
)
287.35



2.8

0.659

AO

2.35


10/9/2013

4/15/2016

45950KAZ3

INTERNATIONAL FINANCE CO CORP BND
 
E

 
 
4,108,160

4,033,960

4,000,000

4,007,931.89

26,028.11

(9,238.65
)


1.5

1.613

AO

0.24

125,333.33

10/18/2010

10/25/2015

45950VCJ3

INTERNATIONAL FINANCE CO SENIOR CORP BND
 
E

 
 
2,652,710.58

2,651,275.31

2,658,000

2,654,113.66

(2,838.35
)
412.01



0.6

0.624

AO

0.61

9,746

4/4/2013

4/11/2016

45905UNJ9

INTL BANK FOR RECONSTRUCTION A SENIOR
 
F

 
 
399,904

399,859.98

400,000

399,921.13

(61.15
)
11.94



1.125

1.144

AO

0.4


4/4/2013

4/11/2018

BRSLR8JD9

ION MEDIA NETWORKS INC SENIOR SECURED TERM
 
 
 
 
915,400

915,400

920,000

915,400





1.889

1.896

MON

0.07


12/27/2013

12/17/2020

BRSHRTUA5

ISS GLOBAL A/S SENIOR SECURED TERM LOAN
 
F

 
 
1,766,672.25

1,772,995.08

1,771,100

1,767,099.61

5,895.47

243.3



3.625

3.061

AO

(0.49
)
16,830.73

1/5/2012

4/15/2015

BRSKKEX64

JARDEN CORP SENIOR SECURED TERM NOTES
 
 
 
 
4,029,600.75

4,046,812.61

4,049,850

4,030,274.36

16,538.25

724.36



2.625

2.68

JD

0.01

27,654.69

12/5/2011

12/15/2016

BRSKL00G7

JBS USA LLC SENIOR SECURED TERM NOTES
 
 
 
 
1,194,000

1,196,004

1,200,000

1,194,225.52

1,778.48

216.12



1.5

1.19

JJ

0.05

10,250

2/13/2013

7/1/2015

47787BAD7

JDOT_12-A ABS 12-A
 
 
 
 
3,999,112.4

4,021,839.92

4,000,000

3,999,530.01

22,309.91

57.24



1.166

0.627

MJSD

0.75

9,900

2/11/2013

6/26/2015

477879AC4

JDOT_13-B ABS_13-B A3
 
 
 
 
4,724,355.98

4,739,458.5

4,725,000

4,724,432.32

15,026.18

55.19



0.869

0.906

JAJO

2.1

11,532.95

4/16/2013

4/23/2018

24422ERU5

JOHN DEERE CAPITAL CORP CORP BND
 
 
 
 
5,000,000

5,002,500.55

5,000,000

5,000,000

2,500.55




0.772

0.794

JAJO

0.23

5,314.28

7/22/2013

7/20/2016

24422ERK7

JOHN DEERE CAPITAL CORP CORP BND MTN
 
 
 
 
505,585

503,730.9

500,000

503,784.17

(53.27
)
(1,031.12
)


2.15

2.195

JJ

0.44

3,125

10/21/2013

1/15/2019

24422ESB6

JOHN DEERE CAPITAL CORP CORP BND MTN
 
 
 
 
4,988,450

4,911,750.8

5,000,000

4,990,267.87

(78,517.07
)
572.99



2.375

2.439

JD

1.74


12/5/2012

12/10/2015

24422ESG5

JOHN DEERE CAPITAL CORP SENIOR CORP BND
 
 
 
 
5,000,000

4,997,050.1

5,000,000

5,000,000

(2,949.9
)



1.4

1.21

AO

0.39


10/24/2013

10/21/2016

24422ERN1

JOHN DEERE CAPITAL CORP SENIOR CORP BND
 
 
 
 
10,272,020.25

10,250,032.88

10,275,000

10,273,104.41

(23,071.53
)
147.04



1.7

1.7

JD

5.91


6/10/2013

6/15/2018

24422ERZ4

JOHN DEERE CAPITAL CORP UNSECURED CORP
 
 
 
 
634,326.9

632,601.65

635,000

634,536.34

(1,934.69
)
55.81



2.4

2.423

AO

1.87


10/17/2013

10/21/2018

478160AW4

JOHNSON & JOHNSON CORP BND
 
 
 
 
122,861.25

126,761.18

125,000

123,508.01

3,253.17

51.06



2.95

2.977

MS

2.72


3/8/2012

3/15/2017

478160AY0

JOHNSON & JOHNSON SENIOR CORP BND
 
 
 
 
526,270

517,317.28

500,000

516,699.26

618.02

(1,759.67
)



0.933

FMAN

0.68

5,375

9/30/2011

00/00/0000

478160BF0

JOHNSON & JOHNSON SENIOR CORP BND
 
 
 
 
1,997,580

1,994,509.75

2,000,000

1,997,639.92

(3,130.17
)
59.92





FMAN

1.59


00/00/0000

00/00/0000

478160BE3

JOHNSON & JOHNSON SENIOR CORP BND
 
 
 
 
5,000,000

5,002,849.6

5,000,000

5,000,000

2,849.6






JAJO

0.29


00/00/0000

00/00/0000

466247E74

JPMMT CMO_06-A1 2A2
 
 
 
 
75,793.7

67,662.26

75,734.5

75,763.4

(8,101.14
)
(36.77
)




JAJO

3.8

535.48

00/00/0000

00/00/0000

46625HGY0

JPMORGAN CHASE & CO CORP BND
 
 
 
 
5,050,445

4,873,012.56

4,250,000

4,948,876.02

(75,863.46
)
(41,599.6
)




JAJO

2.19


00/00/0000

00/00/0000

46625HHP8

JPMORGAN CHASE & CO CORP BND
 
 
 
 
8,568,850

8,759,165

8,500,000

8,516,092.28

243,072.72

(4,145.46
)




MJSD

0.79

15,211.11

00/00/0000

00/00/0000

46625HCE8

JPMORGAN CHASE & CO CORP BND
 
 
 
 
182,024.5

182,934.15

175,000

176,657.53

6,276.62

(353.26
)




FMAN

0.84


00/00/0000

00/00/0000

46625HJG6

JPMORGAN CHASE & CO CORP BND
 
 
 
 
1,973,600

1,981,526.64

2,000,000

1,975,042.55

6,484.09

1,442.55





FMAN

2.04

(6,900
)
00/00/0000

00/00/0000

46625HHX1

JPMORGAN CHASE & CO CORP BND
 
 
 
 
7,486,460

7,341,061.49

7,000,000

7,351,077.2

(10,015.71
)
(40,731.88
)




MJSD

3.5


00/00/0000

00/00/0000

46625HJA9

JPMORGAN CHASE & CO CORP BND
 
 
 
 
8,464,007

8,407,761.04

8,025,000

8,357,625.71

50,135.33

(32,481.43
)




FMAN

6.08


00/00/0000

00/00/0000

46623EJF7

JPMORGAN CHASE & CO CORP BND MTN
 
 
 
 
775,000

775,403.02

775,000

775,000

403.02





0.218

FMAN

0.52

2,108.7

5/13/2011

00/00/0000

46623EJB6

JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
913,842

909,209.84

900,000

910,573.4

(1,363.56
)
(1,535.93
)




JAJO

0.78

3,128.47

00/00/0000

00/00/0000

48126EAA5

JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
5,073,790

5,037,031.95

5,000,000

5,062,203.54

(25,171.59
)
(4,181.82
)




FMAN

3.58


00/00/0000

00/00/0000

46625HJL5

JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
6,467,320.7

6,376,229.2

6,515,000

6,468,640.72

(92,411.52
)
994.08




1.252

JAJO

2.14

19,588.03

8/19/2011

00/00/0000






46623EJU4

JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
7,141,348.5

7,158,984.4

7,150,000

7,143,763.85

15,220.55

714.65





MJSD

4.26


00/00/0000

00/00/0000

46625HJF8

JPMORGAN CHASE & CO SENIOR CORP BND
 
 
 
 
14,920,000

15,069,050.95

14,920,000

14,920,000

149,050.95





0.592

JAJO

3.57

44,454.48

11/1/2011

00/00/0000

46623EJV2

JPMORGAN CHASE & CO SENIOR CORP BND MTN
 
 
 
 
3,000,000

3,012,329.85

3,000,000

3,000,000

12,329.85






JAJO

0.67

6,689.26

00/00/0000

00/00/0000

46623EJP5

JPMORGAN CHASE & CO SENIOR CORP BND MTN
 
 
 
 
3,372,637.5

3,417,859.13

3,375,000

3,374,025.89

43,833.24

347.02





FMAN

2.48

13,593.75

00/00/0000

00/00/0000

46623EJS9

JPMORGAN CHASE & CO SENIOR CORP BND MTN
 
 
 
 
5,431,411.8

5,421,221.89

5,400,000

5,422,057.64

(835.75
)
(3,092.51
)




MJSD

0.69

12,807.78

00/00/0000

00/00/0000

BRSC103Q2

KAR AUCTION SERVICES INC TERM LOAN
 
 
 
 
1,120,636.92

1,130,491.77

1,126,268.26

1,123,075.69

7,416.08

382.14





MJSD

(0.11
)
16,973.42

00/00/0000

00/00/0000

487836BK3

KELLOGG COMPANY SENIOR CORP BND
 
 
 
 
1,200,000

1,201,599.2

1,200,000

1,200,000

1,599.2






FMAN

0.35

1,517.08

00/00/0000

00/00/0000

BRSJLFNA5

KINETIC CONCEPTS INC / KCI USA SENIOR
 
 
 
 
248,125

248,330.94

248,125

248,125

205.94






FMAN

(0.03
)
2,542.78

00/00/0000

00/00/0000

BRSF9BJL7

KLOECKNER HOLDINGS GP S.A. TERM LOAN
 
E

 
 
362,171.25

372,489.44

369,562.5

364,568.14

7,921.3

713.4





MJSD

(0.26
)
5,740.21

00/00/0000

00/00/0000

50048MBM1

KOMMUNALBANKEN AS CORP BND 144A
 
F

 
 
398,900

397,924.01

400,000

398,941.09

(1,017.08
)
41.09




0.225

JAJO

0.93


8/9/2012

1/25/2017

50048MAT7

KOMMUNALBANKEN AS SENIOR GOVT BND
 
F

 
 
1,096,205

1,086,733.99

1,100,000

1,097,148.53

(10,414.54
)
190.32





MJSD

1.33


00/00/0000

00/00/0000

BRSJZMYE5

KOMMUNEKREDIT CORP BND EMTN
 
F

 
 
9,988,500

9,978,700.3

10,000,000

9,990,114.18

(11,413.88
)
958.09




0.222

MJSD

0.96


4/30/2013

12/8/2016

50076QAY2

KRAFT FOODS GROUP INC CORP BND
 
 
 
 
3,718,985.96

3,796,953.62

3,725,000

3,720,285.38

76,668.24

331.86





MJSD

3.34

41,906.25

00/00/0000

00/00/0000

50076QAK2

KRAFT FOODS GROUP INC SENIOR CORP BND
 
 
 
 
1,394,895.5

1,388,016.47

1,370,000

1,385,719.37

2,297.1

(2,761.59
)




JAJO

0.7

11,131.25

00/00/0000

00/00/0000

D4085DTN7

KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
D

 
 
1,685,172.12

1,709,141.85

1,000,000

1,643,730.54

65,411.31

(6,467.78
)

57,427.83



FMAN

0.83


00/00/0000

00/00/0000

D40859GT7

KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
D

 
 
4,137,676.58

4,117,139.74

2,180,000

4,048,572.37

68,567.37

(26,545.47
)

142,164.72



JAJO

3.26

(26,160.64
)
00/00/0000

00/00/0000

BRSDR1PS2

KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
D

 
 
3,986,239.13

4,165,717.65

2,480,000

3,979,957.21

185,760.44

(1,410.3
)

150,721.03


0.143

MJSD

2.1

(11,912.44
)
11/26/2013

3/8/2018

500769EM2

KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
F

 
 
5,216,400

5,159,050.35

5,000,000

5,159,623.92

(573.57
)
(16,495.94
)




JAJO

0.67

50,000

00/00/0000

00/00/0000

500769AX2

KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
F

 
 
6,356,400.6

6,181,020

6,000,000

6,058,037.08

122,982.92

(18,445.35
)




MJSD

0.31

123,750

00/00/0000

00/00/0000

D4085B7T2

KREDITANSTALT FUER WIEDERAUFBA CORP BND
 
D

 
 
6,158,497.52

6,237,207.59

3,530,000

6,018,970.89

218,236.7

(22,749.81
)

194,294.49


0.282

FMAN

2.4

(20,154.15
)
6/1/2012

2/13/2017

500769FC3

KREDITANSTALT FUER WIEDERAUFBA SENIOR
 
F

 
 
4,984,150

5,020,450

5,000,000

4,993,034.89

27,415.11

1,334.72





MJSD

0.31

15,625

00/00/0000

00/00/0000

500769FV1

KREDITANSTALT FUER WIEDERAUFBA SENIOR
 
F

 
 
5,701,367

5,711,628.11

5,700,000

5,701,094.46

10,533.65

(157.93
)




FMAN

0.77


00/00/0000

00/00/0000

500769FG4

KREDITANSTALT FUER WIEDERAUFBA SENIOR
 
F

 
 
9,842,382

9,801,494.7

9,900,000

9,850,137.38

(48,642.68
)
3,383.05




0.899

FMAN

1.15


8/24/2012

2/23/2018

500769FP4

KREDITANSTALT FUER WIEDERAUFBA SENIOR
 
F

 
 
14,965,200

14,964,899.85

15,000,000

14,974,466.25

(9,566.4
)
2,787.16





MJSD

1.2

37,500

00/00/0000

00/00/0000

501044CX7

KROGER CO (THE) SENIOR CORP BND
 
 
 
 
1,456,423

1,454,710.13

1,460,000

1,456,425.3

(1,715.17
)
2.3





FMAN

3.36


00/00/0000

00/00/0000

502413BA4

L-3 COMMUNICATIONS CORP CORP BND
 
 
 
 
3,430,392

3,368,950.88

3,225,000

3,420,735.78

(51,784.9
)
(6,175.43
)



(0.123
)
MJSD

4.19


3/2/2011

00/00/0000

12800UAK6

LA CAISSE CENTRALE DESJARDINS CORP BND
 
A

 
 
397,592

416,140.04

400,000

398,874.62

17,265.42

124.65





FMAN

0.72


00/00/0000

00/00/0000

12800UAL4

LA CAISSE CENTRALE DESJARDINS SECURED
 
A

 
 
2,699,352

2,736,233.87

2,700,000

2,699,582.37

36,651.5

32.53





FMAN

2.34


00/00/0000

00/00/0000

515110BG8

LANDWIRTSCHAFTLICHE RENTENBANK SENIOR
 
F

 
 
2,993,280

2,965,169.91

3,000,000

2,995,006.79

(29,836.88
)
337.64





JAJO

1.2


00/00/0000

00/00/0000

BRSLLJA32

LAS VEGAS SANDS LLC SENIOR SECURED TERM
 
 
 
 
2,477,550

2,477,550

2,490,000

2,477,550






0.172

MJSD

0.07


2/19/2013

6/30/2017

BRSFWACE6

LEAP WIRELESS INTL INC SENIOR SECURED
 
 
 
 
2,337,212

2,352,165.75

2,346,300

2,337,208.08

14,957.67

388.55





MJSD

(0.04
)
28,553.4

00/00/0000

00/00/0000

BRSHHLHN0

LEAP WIRELESS INTL INC SENIOR SECURED
 
 
 
 
5,974,601.88

6,039,795.77

6,019,750

5,979,230.13

60,565.64

1,750.37





MJSD

(1.73
)
73,256.68

00/00/0000

00/00/0000

52206AAB6

LEASEPLAN CORPORATION NV CORP BND 144A
 
F

 
 
4,976,700

4,880,516.45

5,000,000

4,979,462.51

(98,946.06
)
1,114.82





MJSD

3.09

62,500

00/00/0000

00/00/0000

BRSLAZMP6

LESLIES POOLMART INC. SENIOR SECURED
 
 
 
 
2,289,878.99

2,305,185

2,298,198.48

2,289,995.16

15,189.84

163.6





FMAN

(0.77
)
41,646.46

00/00/0000

00/00/0000






BRSFD9W24

LEVEL 3 COMMUNICATIONS INC SENIOR SEC
 
 
 
 
960,300

974,442.6

970,000

962,230.69

12,211.91

349.25




0.131

MJSD

(0.08
)
6,803.29

6/2/2011

00/00/0000

BRSK78QV5

LEVEL 3 FINANCING INC SENIOR SECURED
 
 
 
 
585,000

589,024.8

585,000

585,000

4,024.8






MJSD

(5.53
)
3,461.92

00/00/0000

00/00/0000

BRSHY9H24

LINDE AG SENIOR CORP BND EMTN
 
F

 
 
2,990,820

2,944,319.91

3,000,000

2,992,077.81

(47,757.9
)
448.52




0.254

JAJO

1.94


2/29/2012

4/20/2017

BRSK7RBA5

LIVE NATION ENTERTAINMENT INC SENIOR
 
 
 
 
2,044,875

2,050,846.04

2,044,875

2,044,875

5,971.04





0.047

JAJO

(0.46
)
18,336.11

11/15/2013

4/29/2019

G5577Y5Y2

LLOYDS TSB BANK PLC - LT GTD SENIOR
 
D

 
 
4,005,907.35

4,120,062.99

2,490,000

4,010,768.52

109,294.47

443.95


114,280.3


0.078

FMAN

3.05

(11,430.88
)
6/25/2012

5/25/2018

541502AB6

LOMA REINSURANCE LTD CORP BND 144A
 
F

 
 
4,000,000

4,005,680

4,000,000

4,000,000

5,680






FMAN

12.54


00/00/0000

00/00/0000

G29330DW7

LONDON POWER NETWORKS PLC LOCAL BND
 
D

 
 
911,019.43

998,402.44

550,000

912,371.22

86,031.22

91.47


(2,554.36
)

0.021

JAJO

1.89

47,032.46

7/8/2011

00/00/0000

502441AA6

LVMH MOET HENNESSY LOUIS VUITT SENIOR
 
F

 
 
3,041,246.5

3,038,394.27

3,050,000

3,043,810.11

(5,415.84
)
431.01





MJSD

3.48

24,781.26

00/00/0000

00/00/0000

552081AG6

LYONDELLBASELL INDUSTRIES NV SENIOR CORP
 
F

 
 
5,515,050

5,548,040.4

5,000,000

5,495,672.7

52,367.7

(19,377.3
)




FMAN

2.66

(694.44
)
00/00/0000

00/00/0000

BRSJFJJX9

MACDERMID INCORPORATED SENIOR SECURED
 
 
 
 
1,677,346.12

1,692,580.97

1,681,550

1,677,637.14

14,943.83

163.21





FMAN

(0.1
)
18,918.15

00/00/0000

00/00/0000

55608PAA2

MACQUARIE BANK LTD CORP BND 144A
 
F

 
 
5,996,040

6,490,455.3

6,000,000

5,997,399.86

493,055.44

190.29





FMAN

2.29


00/00/0000

00/00/0000

563469TU9

MANITOBA PROVINCE OF CORP BND
 
A

 
 
10,161,200

10,074,745.2

10,000,000

10,137,931.43

(63,186.23
)
(10,565.44
)



0.153

FMAN

1.07

65,000

8/6/2012

5/18/2018

57583PEM7

MASSACHUSETTS ST MUNITAX BND REV
 
 
 
 
4,625,000

4,790,297.5

4,625,000

4,625,000

165,297.5






FMAN

1.13

68,981.88

00/00/0000

00/00/0000

58768TAC0

MBALT_12-A ABS 12-A
 
 
 
 
946,809.82

947,416.95

946,862.09

946,819

597.95

11.56





MJSD

0.74

3,142.55

00/00/0000

00/00/0000

58768WAC3

MBART_13-1 ABS 13-1
 
 
 
 
2,604,904.14

2,607,735.33

2,605,000

2,604,917.44

2,817.89

8.28





MJSD

2.17

5,079.75

00/00/0000

00/00/0000

BRSFHP193

MCC IOWA LLC TERM LOAN
 
 
 
 
2,888,437.5

2,962,500

2,962,500

2,901,471.36

61,028.64

2,673.96





MJSD


30,360

00/00/0000

00/00/0000

BRSL8SVP5

MCJUNKIN RED MAN CORP SENIOR SECURED
 
 
 
 
1,925,175

1,949,239.69

1,925,175

1,925,175

24,064.69






JAJO

(3.31
)
4,030.74

00/00/0000

00/00/0000

581557AY1

MCKESSON CORP SENIOR CORP BND
 
 
 
 
1,005,660

1,000,268.25

1,000,000

1,003,947.77

(3,679.52
)
(512.57
)




MJSD

0.94

4,750

00/00/0000

00/00/0000

BRSGV88K1

MEDASSETS INC SENIOR SECURED TERM LOAN
 
 
 
 
232,432

234,282.1

233,599.99

232,604.77

1,677.33

181.18




0.166

MJSD

(0.05
)
2,708.16

6/17/2011

00/00/0000

BRSJD2Z02

MEDIACOM BROADBAND LLC TL E SENIOR
 
 
 
 
3,716,325

3,681,019.91

3,716,325

3,716,325

(35,305.09
)




0.035

MJSD

0.13

30,943.7

6/27/2011

00/00/0000

585055AR7

MEDTRONIC INC CORP BND
 
 
 
 
519,695

514,477

500,000

514,434.28

42.72

(3,041.65
)




MJSD

0.59


00/00/0000

00/00/0000

585055AU0

MEDTRONIC INC CORP BND
 
 
 
 
526,905

520,402.72

500,000

519,506.04

896.68

(2,230.45
)



0.071

MJSD

0.76


6/28/2011

6/29/2018

585055BA3

MEDTRONIC INC SENIOR CORP BND
 
 
 
 
3,444,825

3,380,833.91

3,450,000

3,445,595.37

(64,761.46
)
254.41




0.115

MJSD

3.74

24,377.61

6/26/2012

6/30/2017

BRSHEMWF1

MEG ENERGY CORP SENIOR SECURED TERM LOAN
 
A

 
 
4,290,263.73

4,311,910.9

4,291,056.37

4,290,294.42

21,616.48

30.69




0.074

JAJO

(3.53
)
56,493.84

10/23/2012

6/30/2017

589331AK3

MERCK & CO INC CORP BND
 
 
 
 
8,701,862.5

8,395,368

8,000,000

8,170,599.79

224,768.21

(36,600.35
)




JAJO

0.99


00/00/0000

00/00/0000

58933YAH8

MERCK & CO INC SENIOR CORP BND
 
 
 
 
752,364

751,965.01

750,000

752,302.77

(337.76
)
(61.23
)




MJSD

0.54

(12.47
)
00/00/0000

00/00/0000

58933YAD7

MERCK & CO INC SENIOR CORP BND
 
 
 
 
3,180,422.8

3,175,080.51

3,180,000

3,180,512.07

(5,431.56
)
13.88





MJSD

2.3

7,845.83

00/00/0000

00/00/0000

58933YAG0

MERCK & CO INC SENIOR CORP BND
 
 
 
 
5,691,821.45

5,564,640.51

5,705,000

5,693,399.03

(128,758.52
)
646.68





FMAN

5.66

36,670.47

00/00/0000

00/00/0000

BRSCEALQ6

MERCURY PAYMENT SYSTEMS TERM LOAN
 
 
 
 
2,696,837.36

2,720,791.73

2,708,926.63

2,701,855.19

18,936.54

551.61





FMAN

(0.12
)
51,721.45

00/00/0000

00/00/0000

BRSHM2QH9

METALDYNE LLC SENIOR SECURED TERM LOAN
 
 
 
 
1,014,942.74

1,030,136.18

1,019,301.01

1,015,059.85

15,076.33

130.03




0.103

JAJO

(6.57
)
17,635.57

7/25/2012

2/19/2020

BRSGGZLV9

MGM RESORTS INTERNATIONAL SENIOR SECURED
 
 
 
 
1,049,078.24

1,056,332.18

1,054,350

1,049,822.32

6,509.86

202.64





MJSD

(0.03
)
9,454.39

00/00/0000

00/00/0000

61205PAJ8

MHESA_12-1 ABS 12-1
 
 
 
 
300,439.8

300,253.52

300,439.8

300,439.8

(186.28
)




0.286

FMAN

1.56

929.44

11/17/2011

00/00/0000

BRSBLUUU7

MICHAEL FOODS GROUP INC TERM LOAN
 
 
 
 
1,991,283.09

1,982,656.67

1,974,010.5

1,984,312.41

(1,655.74
)
(938.87
)




FMAN

(0.1
)
21,928.4

00/00/0000

00/00/0000

BRSH5BNL2

MICHAELS STORES INC SENIOR SECURED TERM
 
 
 
 
6,532,175

6,552,555.39

6,532,175

6,532,175

20,380.39






MJSD

(3.83
)
62,490.42

00/00/0000

00/00/0000






BRSD1YF59

MICROSEMI CORPORATION TERM LOAN
 
 
 
 
2,531,730.99

2,559,168.69

2,552,786.72

2,536,468.5

22,700.19

700.48




0.006

MJSD

(0.04
)
29,006.3

7/25/2012

12/20/2018

594918AB0

MICROSOFT CORP CORP BND
 
 
 
 
2,254,225.19

2,164,700.87

2,141,000

2,162,714.81

1,986.06

(13,160.56
)




MJSD

0.29

31,579.75

00/00/0000

00/00/0000

594918AS3

MICROSOFT CORP SENIOR CORP BND
 
 
 
 
7,125,508.1

6,914,239.57

7,130,000

7,126,093.32

(211,853.75
)
266.98




0.224

MJSD

5.18

59,407.51

6/26/2012

6/30/2017

594918AV6

MICROSOFT CORP SENIOR CORP BND
 
 
 
 
8,361,474.3

8,298,590.21

8,410,000

8,362,140.73

(63,550.52
)
666.43





JAJO

3.82


00/00/0000

00/00/0000

595620AD7

MIDAMERICAN ENERGY CO CORP BND
 
 
 
 
7,830,728

7,424,640

7,200,000

7,313,108.5

111,531.5

(37,955.82
)




MJSD

2.86

167,400

00/00/0000

00/00/0000

595620AJ4

MIDAMERICAN ENERGY CO SECURED CORP BND
 
 
 
 
839,529.6

842,128.07

840,000

839,552.07

2,576

19.88





JAJO

4.69


00/00/0000

00/00/0000

BRSK6KJE5

MINIMAX GMBH & CO KG SENIOR SECURED TERM
 
F

 
 
2,262,207.12

2,283,055.81

2,273,575

2,262,609.88

20,445.93

459.88




0.09

JAJO

(0.06
)
17,423.12

8/6/2012

6/1/2017

BRSKQD5K0

MISSION BROADCASTING INC. SECURED TERM
 
 
 
 
1,822,723.7

1,824,437.06

1,822,723.7

1,822,723.7

1,713.36





0.148

MJSD

(0.01
)

10/31/2012

2/14/2019

BRSHTM755

MONEYGRAM INTL INC SENIOR SEC TERM NOTES
 
 
 
 
883,325

890,780.26

883,325

883,325

7,455.26






MJSD

(3.49
)
9,618.06

00/00/0000

00/00/0000

BRSHW49Y6

MONITRON INTL SENIOR SECURED TERM NOTES
 
 
 
 
1,630,725.47

1,648,497.16

1,636,225.47

1,631,167.2

17,329.96

301.05




0.164

MJSD

(0.17
)
17,816.1

4/24/2012

9/15/2017

61166WAM3

MONSANTO COMPANY SENIOR CORP BND
 
 
 
 
2,995,830

2,953,382.73

3,000,000

2,995,948.25

(42,565.52
)
118.25





MJSD

2.19


2/24/2012

2/28/2019

612098AD5

MONTANA RE LTD CORP BND 144A
 
F

 
 
9,004,500

9,004,500

9,000,000

9,000,466.31

4,033.69

(2,168.6
)




JAJO

14.73


00/00/0000

00/00/0000

612098AC7

MONTANA RE LTD SENIOR CORP BND 144A
 
F

 
 
10,002,000

10,003,000

10,000,000

10,000,264.51

2,735.49

(1,122.74
)




MJSD

10.99


00/00/0000

00/00/0000

61747WAE9

MORGAN STANLEY CORP BND
 
 
 
 
750,000

750,600.02

750,000

750,000

600.02






MJSD

0.64

3,574.01

3/19/2013

9/15/2017

61747YDD4

MORGAN STANLEY CORP BND
 
 
 
 
2,127,340

2,113,511.5

2,000,000

2,095,105.28

18,406.22

(10,111.83
)



0.125

MJSD

1.32

38,000

12/13/2013

3/21/2019

6174467N3

MORGAN STANLEY CORP BND
 
 
 
 
2,400,983.75

2,483,916.03

2,375,000

2,384,048.93

99,867.1

(1,403.27
)




MJSD

1.04


00/00/0000

00/00/0000

61747YCF0

MORGAN STANLEY CORP BND
 
 
 
 
2,928,431

2,752,056

2,700,000

2,726,130.03

25,925.97

(17,937.1
)




MJSD

0.72

81,000

00/00/0000

00/00/0000

61747YCJ2

MORGAN STANLEY CORP BND
 
 
 
 
3,422,850

3,396,662.28

3,000,000

3,371,356.9

25,305.38

(15,601.8
)




MJSD

3.09

6,359.38

00/00/0000

00/00/0000

61746BDH6

MORGAN STANLEY SENIOR CORP BND
 
 
 
 
854,845

861,058.53

850,000

853,688.97

7,369.56

(425.91
)




MJSD

0.89

3,248.91

00/00/0000

00/00/0000

61747YDT9

MORGAN STANLEY SENIOR CORP BND
 
 
 
 
2,192,640

2,178,241.42

2,000,000

2,153,125.36

25,116.06

(11,642.71
)



0.19

MJSD

1.89


3/27/2012

6/30/2017

61746BDG8

MORGAN STANLEY SENIOR CORP BND
 
 
 
 
3,742,912.5

3,800,377.76

3,750,000

3,744,884.14

55,493.62

1,390.59





MJSD

1.12

7,680.56

00/00/0000

00/00/0000

6174467U7

MORGAN STANLEY SENIOR CORP BND
 
 
 
 
7,994,320

7,943,421.04

8,000,000

7,995,065.55

(51,644.51
)
1,963.96




0.108

MJSD

4.6

107,784.72

8/6/2012

3/30/2018

620062AC3

MOTOR_12A ABS 12A 144A
 
F

 
 
740,000

740,509.12

740,000

740,000

509.12





0.167

MJSD

2.53

2,379.12

4/3/2012

4/5/2018

BRSFMMQE6

MOTOR_12X ABS 12X
 
O

 
 
744,753.66

776,723.86

468,230.29

742,771.71

33,952.15

(1,006.54
)

33,610



FMAN

1.19

3,268.18

00/00/0000

00/00/0000

61746REV9

MSAC ABS 04-H1
 
 
 
 
941,018.2

907,297.28

939,550.16

940,486.63

(33,189.35
)
5.44




0.074

MJSD

1.24

2,188.79

12/12/2013

4/19/2019

628530AL1

MYLAN INC/PA CORP BND 144A
 
 
 
 
6,704,500

6,526,250

5,750,000

6,508,791.5

17,458.5

(85,124.83
)



0.1

JAJO

1.51


9/12/2013

5/4/2018

65475UAC6

NAROT_12-A ABS 12-A
 
 
 
 
2,442,187.47

2,445,958.23

2,442,514.28

2,442,395.03

3,563.2

33.7




0.142

JAJO

0.51

4,874.89

4/20/2012

4/23/2019

65477LAB6

NAROT_13-B ABS 13-B A2
 
 
 
 
309,998.54

310,251.1

310,000

309,998.01

253.09

(0.46
)




MJSD

0.45

402.99

00/00/0000

00/00/0000

65477MAC2

NAROT_13-C SENIOR ABS_13-C A3
 
 
 
 
4,729,020.42

4,718,222.24

4,730,000

4,729,041.81

(10,819.57
)
21.39




0.083

MJSD

2.33


4/30/2012

5/3/2018

65477MAD0

NAROT_13-C SENIOR ABS_13-C A4
 
 
 
 
3,089,600.16

3,067,474.03

3,090,000

3,089,606.33

(22,132.3
)
6.17





FMAN

4.6


00/00/0000

00/00/0000

63254AAH1

NATIONAL AUSTRALIA BANK LIMITE SENIOR
 
E

 
 
320,000

321,139.21

320,000

320,000

1,139.21





0.188

MJSD

0.65

667.22

8/17/2012

10/18/2017

63254AAC2

NATIONAL AUSTRALIA BANK LIMITE SENIOR
 
E

 
 
3,297,888

3,349,503.53

3,300,000

3,298,860.72

50,642.81

175.28





FMAN

0.66


00/00/0000

00/00/0000

63254AAF5

NATIONAL AUSTRALIA BANK LIMITE SENIOR
 
E

 
 
4,326,340.75

4,319,238.06

4,325,000

4,325,978.64

(6,740.58
)
(117.96
)




MJSD

1.93


00/00/0000

00/00/0000

63253WAA9

NATIONAL AUSTRALIA BANK LTD SECURED
 
F

 
 
3,993,960

4,078,879.68

4,000,000

3,995,747.55

83,132.13

296.56




0.21

MJSD

1.42

40,000

5/18/2012

4/3/2017






6325C0CA7

NATIONAL AUSTRALIA BANK LTD SENIOR CORP
 
F

 
 
4,600,000

4,608,556.23

4,600,000

4,600,000

8,556.23






FMAN

0.6

11,631.1

00/00/0000

00/00/0000

63307AAA3

NATIONAL BK OF CANADA SENIOR CORP BND
 
A

 
 
11,657,163

11,395,978.71

11,670,000

11,660,038.51

(264,059.8
)
634.44




0.217

MJSD

4.18

84,607.5

6/28/2012

2/15/2017

BRSJ6L8K4

NATIONAL CNEMDIA SENIOR SECURED TERM
 
 
 
 
1,739,140.97

1,744,890

1,750,000

1,739,577.38

5,312.62

436.41





MJSD

0.05

13,167.14

00/00/0000

00/00/0000

BRSJNKJ74

NATIONAL FIN PRT SENIOR SECURED TERM
 
 
 
 
470,215.27

469,055.67

463,837.5

470,215.27

(1,159.6
)




0.452

MJSD

(0.17
)

7/16/2012

12/21/2016

637432MP7

NATIONAL RURAL UTILITIES COOP CORP BND
 
 
 
 
2,462,145.4

2,482,396.68

2,470,000

2,467,124.53

15,272.15

656.34





MJSD

0.54


00/00/0000

00/00/0000

63743HEG3

NATIONAL RURAL UTILITIES COOP SENIOR
 
 
 
 
6,000,000

5,999,923.38

6,000,000

6,000,000

(76.62
)





JAJO

0.49

7,810.8

00/00/0000

00/00/0000

63946CAB4

NBCUNIVERSAL ENTERPRISE INC SENIOR CORP
 
 
 
 
6,254,687.5

6,272,874.81

6,250,000

6,253,990.77

18,884.04

(230.25
)



0.143

FMAN

2.53

15,223.13

8/3/2012

8/8/2019

63946BAB6

NBCUNIVERSAL MEDIA LLC CORP BND
 
 
 
 
577,289.62

563,607.37

542,000

558,407.42

5,199.95

(3,089.87
)



0.142

MJSD

0.64

9,891.5

8/2/2012

8/1/2019

62889AAA1

NCUA GUARANTEED NOTES AGENCY ABS 10-A1 A
 
 
 
 
1,602,751.13

1,604,450.05

1,602,751.13

1,602,751.13

1,698.92






MJSD

0.98

2,209.65

00/00/0000

00/00/0000

62888VAB4

NCUA GUARANTEED NOTES AGENCY CMO_10-R1
 
 
 
 
285,746.07

288,118.05

285,771.86

285,757.23

2,360.82

4.08





FMAN

3.2

1,438.39

00/00/0000

00/00/0000

62888VAA6

NCUA GUARANTEED NOTES AGENCY CMO_10-R1
 
 
 
 
994,809.52

1,000,161.6

994,809.52

994,809.52

5,352.08






MJSD

0.46

1,617.41

00/00/0000

00/00/0000

62889GAA8

NCUA GUARANTEED NOTES CMO 11-R5 1A
 
 
 
 
2,207,533.1

935,552.52

2,207,533.1

2,207,533.1

(1,271,980.58
)




0.339

FMAN

72.2

3,310.08

8/15/2012

1/20/2020

62889JAA2

NCUA GUARANTEED NOTES CMO_11-R6 1A
 
 
 
 
1,271,629.1

1,276,079.8

1,271,629.1

1,271,629.1

4,450.7






FMAN

0.89

1,922.11

00/00/0000

00/00/0000

62888XAC8

NCUA_10-C1 CMBS_10-C1 A-PT
 
 
 
 
4,271,582.09

4,397,084.34

4,280,067.26

4,276,029.57

121,054.77

571.35





FMAN

3.71

28,714.19

00/00/0000

00/00/0000

N6S779BG4

NEDERLANDSE WATERSCHAPSBANK NV CORP BND
 
F

 
 
6,994,610

6,994,219.33

7,000,000

6,995,975.18

(1,755.85
)
452.64




0.578

MJSD

0.79


12/31/2012

8/19/2018

BRSKV4ZQ8

NEIMAN MARCUS GROUP INC. THE SENIOR
 
 
 
 
5,278,475

5,366,166.65

5,305,000

5,279,056.99

87,109.66

652.39




(0.136
)
JAJO

(3.79
)
26,400.69

6/20/2013

10/18/2019

U64107AF9

NESTLE HLDGS INC. CORP BND EMTN
 
 
 
 
1,013,000

998,690.03

1,000,000

1,010,803.12

(12,113.09
)
(770.88
)




MJSD

1.41


00/00/0000

00/00/0000

64127WAF0

NETWORK RAIL INFRA FIN CORP BND GOVT
 
F

 
 
4,988,500

5,034,650

5,000,000

4,995,932.35

38,717.65

960.36





MJSD

0.22


00/00/0000

00/00/0000

G6459FAE2

NETWORK RAIL INFRA FIN LOCAL BND EMTN
 
D

 
 
4,995,951.2

4,984,930.37

2,800,000

4,807,414.83

177,515.54

(30,696.87
)

168,728.56


0.018

MJSD

1.78

118,527.6

10/4/2012

10/1/2019

646136K83

NEW JERSEY ST TRANSN TR FD AUT MUNITAX
 
 
 
 
5,050,000

4,890,773.5

5,050,000

5,050,000

(159,226.5
)





JAJO

4.87

56,719.92

00/00/0000

00/00/0000

BRSKQ8AG4

NEXSTAR BROADCASTING GROUP INC NEXSTAR
 
 
 
 
1,308,109.61

1,309,339.23

1,308,109.61

1,308,109.61

1,229.62





0.166

JAJO

(0.01
)
2,945.31

9/27/2012

4/5/2018

302570BC9

NEXTERA ENERGY CAPITAL HOLDING CORP BND
 
 
 
 
7,402,175

6,779,737.39

6,050,000

6,535,828.16

243,909.23

(60,017.07
)



0.036

MJSD

3.17

238,218.75

9/21/2012

9/20/2019

62888UAA8

NGN_10-R2 AGENCY CMO_10-R2 1A
 
 
 
 
2,867,919.52

2,871,504.42

2,867,919.52

2,867,919.52

3,584.9






JAJO

0.95

4,108.71

00/00/0000

00/00/0000

62888YAA0

NGN_11-R1 CMO_11-R1 IA
 
 
 
 
3,113,537.95

3,121,284.64

3,112,259.09

3,113,172.4

8,112.24

(74.12
)




MJSD

1.06

5,057.01

00/00/0000

00/00/0000

62889EAA3

NGN_11-R3 NGN_11-R3 1A
 
 
 
 
7,209,435.08

7,200,154.16

7,200,154.16

7,207,910.35

(7,756.19
)
(669.73
)




MJSD

1.77

10,812.24

00/00/0000

00/00/0000

62889FAA0

NGN_11-R4 CMO_11R4-1A
 
 
 
 
2,685,088.61

2,694,486.42

2,685,088.61

2,685,088.61

9,397.81





(0.023
)
JAJO

0.89

4,533.34

11/15/2012

10/10/2019

BRSHKR2U3

NIELSEN FINANCE LLC/NIELSON FI SENIOR
 
 
 
 
1,950,000

1,952,925

1,950,000

1,950,000

2,925





0.125

MJSD

(0.06
)
14,424.25

9/27/2012

10/11/2018

BRSHB3HE6

NINE ENTERTAINMENT GROUP LIMIT SENIRO
 
F

 
 
4,268,348.3

4,255,576.32

4,280,187.4

4,269,028.65

(13,452.33
)
441.14




0.166

MJSD

0.09

26,165.13

10/2/2012

10/9/2018

65477LAC4

NISSAN AUTO RECEIVABLES OWNER ABS
 
 
 
 
3,744,185.47

3,750,168.1

3,745,000

3,744,315.76

5,852.34

91.11





JAJO

2.31

7,864.5

00/00/0000

00/00/0000

63861GAG5

NMART_13-T2 ABS_13-T2 A2 144A
 
 
 
 
1,039,995.84

1,036,898.72

1,040,000

1,039,996.92

(3,098.2
)
0.26





JAJO

1.7

4,365.39

00/00/0000

00/00/0000

65474VAG6

NMOTR_13-A SENIOR ABS 13-A
 
 
 
 
1,680,000

1,679,630.35

1,680,000

1,680,000

(369.65
)





JAJO

0.48

2,014.98

00/00/0000

00/00/0000

62951MAY6

NOMURA ASSET ACCEPTANCE CORPOR WHOLE CMO
 
 
 
 
730,335.2

751,996.66

722,880.48

729,377.7

22,618.96

(228.34
)



0.071

JAJO

6.04

11,913.32

12/20/2013

3/4/2019

65557CAG8

NORDEA BANK AB CORP BND 144A
 
F

 
 
3,075,000

3,076,014.65

3,075,000

3,075,000

1,014.65






JAJO

0.29

9,194.25

00/00/0000

00/00/0000

65557HAE2

NORDEA BANK AB SENIOR CORP BND
 
F

 
 
4,989,850

4,942,644.8

5,000,000

4,991,961.42

(49,316.62
)
846.79





JAJO

1.37

21,631.94

00/00/0000

00/00/0000






65557FAG1

NORDEA BANK AB SENIOR CORP BND 144A
 
F

 
 
7,971,170

7,813,206.8

8,000,000

7,974,412.32

(161,205.52
)
1,420.82





FMAN

2.19

65,000

00/00/0000

00/00/0000

W6314JBT7

NORDEA BANK AB SENIOR CORP BND EMTN
 
D

 
 
2,616,684.94

2,725,242.45

1,645,000

2,617,101.72

108,140.73

(17.8
)

109,893.59



JAJO

1.92

3,134.06

00/00/0000

00/00/0000

BRSC0XRZ5

NORTEK INC TERM LOAN
 
 
 
 
585,210.28

586,675.14

585,942.71

585,521.84

1,153.3

31.97





JAJO

(0.04
)
7,861.4

00/00/0000

00/00/0000

66989HAC2

NOVARTIS CAPITAL CORP CORP BND
 
 
 
 
11,921,457.96

11,988,995.43

11,619,000

11,817,910.67

171,084.76

(38,181.36
)



0.169

JAJO

1.4

168,475.5

10/16/2012

10/18/2018

BRSHM2RV7

NOVELIS INC/GA SENIOR SECURED TERM NOTES
 
 
 
 
5,340,367.86

5,450,897.44

5,435,027.15

5,353,862.64

97,034.8

6,790.1




(0.309
)
JAJO

(1.63
)
52,221.23

10/4/2012

3/30/2018

BRSJGG5C5

NRG ENERGY INC SENIOR SECURED TERM LOAN
 
 
 
 
5,825,695.62

5,894,652.78

5,912,389.95

5,834,330.78

60,322

4,345.94





JAJO

0.07

41,335.03

00/00/0000

00/00/0000

BRSGCCH31

NSG HOLDINGS SENIOR SECURED TERM LOAN
 
 
 
 
1,663,343.01

1,674,880.08

1,674,880.08

1,665,012.53

9,867.55

554.62




(0.059
)
JAJO


22,100.89

10/29/2012

8/28/2019

654624AE5

NTT CORP SENIOR CORP BND
 
F

 
 
4,459,748.5

4,398,509.54

4,450,000

4,457,015.68

(58,506.14
)
(482.99
)



0.142

FMAN

1.74


11/13/2012

11/19/2019

BRSJRVF13

OAK LEAF RE LTD CORP BND 144A
 
 
 
 
1,500,000

1,702,156.61

1,500,000

1,500,000

202,156.61






FMAN

(5.14
)

00/00/0000

00/00/0000

BRSK7W701

OCI BEAUMONT LLC SENIOR SECURED TERM
 
 
 
 
575,472.57

590,078.47

584,236.11

575,993.54

14,084.93

365.92




0.036

FMAN

(0.17
)
9,027.25

11/16/2012

11/20/2019

68268NAK9

ONEOK PARTNERS LP SENIOR CORP BND
 
 
 
 
2,663,267.75

2,728,459.06

2,665,000

2,663,368.36

65,090.7

85.7



6.75

0.181

FMAN

2.65


11/19/2012

7/2/2018

6832348Y7

ONTARIO PROVINCE OF CORP BND
 
A

 
 
5,224,450

5,161,600.1

5,000,000

5,085,937.29

75,662.81

(14,645.12
)




FMAN

0.47

67,500

00/00/0000

00/00/0000

68323AAQ7

ONTARIO PROVINCE OF SENIOR CORP BND
 
A

 
 
1,965,569

1,966,803.83

1,900,000

1,957,735.69

9,068.14

(6,119.48
)



0.03

MJSD

0.79

21,850

11/20/2012

1/29/2021

68323ABM5

ONTARIO PROVINCE OF SENIOR CORP BND
 
A

 
 
3,981,200

3,961,120

4,000,000

3,983,640.97

(22,520.97
)
1,060.02




0.098

MJSD

1.36

22,000

10/7/2013

12/11/2019

68323ABJ2

ONTARIO PROVINCE OF SENIOR CORP BND
 
A

 
 
12,974,331

13,007,071.29

12,900,000

12,953,481.62

53,589.67

(9,593.97
)




FMAN

0.71

61,275

00/00/0000

00/00/0000

68389XAQ8

ORACLE CORP SENIOR CORP BND
 
 
 
 
2,516,213

2,537,821.29

2,525,000

2,516,902.4

20,918.89

375.29





FMAN

2.27


00/00/0000

00/00/0000

68389XAR6

ORACLE CORP SENIOR CORP BND
 
 
 
 
3,350,000

3,363,266.13

3,350,000

3,350,000

13,266.13





0.071

MJSD

2.23

7,177.52

12/13/2012

12/18/2019

68389XAN5

ORACLE CORP SENIOR CORP BND
 
 
 
 
11,418,449.3

11,425,338.2

11,590,000

11,432,574.45

(7,236.25
)
10,148.73





FMAN

4.76

69,540

00/00/0000

00/00/0000

BRSHVP672

OSI RESTAURANT PARTNERS INC SENIOR
 
 
 
 
1,905,870.45

1,919,617.52

1,919,387.19

1,906,779.58

12,837.94

543.19





MJSD


17,206.03

00/00/0000

00/00/0000

BRSJXUUF0

OXBOW CARBON LLC SENIOR SECURED TERM
 
 
 
 
727,593.75

733,992.19

731,250

727,842.19

6,150

200.12




0.071

MJSD

(0.07
)
8,044.01

12/13/2012

12/20/2019

L7256GAD9

OXEA FINANCE & CY SCA SENIOR SECURED
 
F

 
 
2,349,112.5

2,366,775

2,355,000

2,349,480.04

17,294.96

230.03





MJSD

(10.91
)
19,183.44

00/00/0000

00/00/0000

69371RL46

PACCAR FINANCIAL CORP CORP BND MTN
 
 
 
 
6,144,426

6,111,747.37

6,150,000

6,145,441.47

(33,694.1
)
478.72




0.071

MJSD

2.03

23,062.5

12/11/2012

12/13/2019

69371RL20

PACCAR FINANCIAL CORP SENIOR CORP BND
 
 
 
 
2,906,042.4

2,896,971.9

2,910,000

2,907,215.12

(10,243.22
)
327.71





MJSD

1.02


00/00/0000

00/00/0000

69371RL38

PACCAR FINANCIAL CORP SENIOR CORP BND
 
 
 
 
4,218,031.08

4,219,745.75

4,218,000

4,218,025.64

1,720.11

(3.07
)




MJSD

0.98

5,782.03

00/00/0000

00/00/0000

69371RL61

PACCAR FINANCIAL CORP SENIOR CORP BND
 
 
 
 
4,945,198.5

4,960,765.46

4,950,000

4,945,789.88

14,975.58

394.25





MJSD

1.07


00/00/0000

00/00/0000

69371RK70

PACCAR FINANCIAL CORP UNSECURED CORP BND
 
 
 
 
1,500,000

1,501,237.01

1,500,000

1,500,000

1,237.01





0.122

MJSD

0.3

1,931.85

9/30/2013

12/20/2019

69371RL79

PACCAR INC CORP BND MTN
 
 
 
 
3,850,000

3,859,370.13

3,850,000

3,850,000

9,370.13





0.143

MJSD

1.58


12/13/2012

12/13/2019

BRSJA8RE1

PACIFIC DRILLING SA SENIOR SECURED TERM
 
F

 
 
1,316,733.25

1,337,417.21

1,323,350

1,317,447.77

19,969.44

351.11





MJSD

(2.82
)
15,090.92

00/00/0000

00/00/0000

693304AQ0

PECO ENERGY CO SECURED CORP BND
 
 
 
 
2,156,889.6

2,159,060.51

2,160,000

2,157,164.39

1,896.12

254.24





MJSD

1.22


00/00/0000

00/00/0000

709599AG9

PENSKE TRUCK LEASING CO SENIOR CORP BND
 
 
 
 
824,678.25

832,584.46

825,000

824,913.22

7,671.24

40.67




0.074

JAJO

0.75


12/16/2013

12/19/2019

709599AJ3

PENSKE TRUCK LEASING CO SENIOR CORP BND
 
 
 
 
8,529,435

8,708,699.14

8,500,000

8,522,188.77

186,510.37

(2,523.13
)




JAJO

2.73


00/00/0000

00/00/0000

BRSFWC4C5

PEP BOYS - MANNY MOE & JACK TH SENIOR
 
 
 
 
1,792,802.37

1,809,745.94

1,806,350

1,795,448.9

14,297.04

602.12





MJSD

(0.04
)
23,139.28

00/00/0000

00/00/0000

713448BX5

PEPSICO INC SENIOR CORP BND
 
 
 
 
999,560

1,002,157.6

1,000,000

999,826.64

2,330.96

37.35





JAJO

0.57


1/24/2013

1/28/2020

713448CE6

PEPSICO INC SENIOR CORP BND
 
 
 
 
1,799,370

1,801,317.13

1,800,000

1,799,494.68

1,822.45

(54.88
)



0.142

JAJO

1.33


1/24/2013

1/30/2020






713448CF3

PEPSICO INC SENIOR CORP BND
 
 
 
 
6,925,418.25

6,929,571.2

6,925,000

6,925,338.26

4,232.94

(39.41
)



0.072

JAJO

0.83

8,354.86

1/25/2013

1/31/2020

714294AA3

PERRIGO CO LTD SENIOR CORP BND 144A
 
F

 
 
699,279

698,520.24

700,000

699,314.25

(794.01
)
102.41





JAJO

2.75

2,600

00/00/0000

00/00/0000

714294AE5

PERRIGO CO LTD SENIOR CORP BND 144A
 
F

 
 
2,296,757

2,277,228.11

2,300,000

2,296,848.79

(19,620.68
)
91.79




0.167

FMAN

2.52


2/7/2013

2/8/2019

BRSHD5L53

PETCO ANIMAL SUPPLIES INC. SENIOR
 
 
 
 
3,832,162.07

3,891,672.08

3,876,514.91

3,836,389.67

55,282.41

2,552.18





MJSD

(0.1
)
39,728.73

1/29/2013

4/3/2017

71647NAB5

PETROBRAS INT BRASPETRO BV SENIOR CORP
 
F

 
 
4,669,544

4,397,784.97

4,700,000

4,672,772.45

(274,987.48
)
1,404.76





MJSD

4.43


2/7/2013

2/21/2020

71645WAT8

PETROBRAS INTL FINANCE CORP BND
 
F

 
 
797,304

824,267.21

800,000

798,819.55

25,447.66

135.91





MJSD

2.37


2/5/2013

10/9/2019

71645WAV3

PETROBRAS INTL FINANCE CORP BND
 
F

 
 
1,790,982

1,821,189.6

1,800,000

1,796,606.33

24,583.27

756.95





JAJO

1.79


00/00/0000

00/00/0000

717081DA8

PFIZER INC CORP BND
 
 
 
 
555,530

528,632

500,000

513,929.92

14,702.08

(2,892.2
)



(0.164
)
FMAN

0.58


9/4/2013

2/28/2020

717081DG5

PFIZER INC SENIOR CORP BND
 
 
 
 
1,973,854.5

1,942,421.05

1,975,000

1,973,985.66

(31,564.61
)
58.28





MJSD

1.89

15,800

00/00/0000

00/00/0000

717081DF7

PFIZER INC SENIOR CORP BND
 
 
 
 
8,000,000

8,000,479.76

8,000,000

8,000,000

479.76






MJSD

1.62

11,210.88

00/00/0000

00/00/0000

BRSHD4UZ0

PHARMACEUTICAL RSRCE INC SENIOR SECURED
 
 
 
 
4,397,160.37

4,426,428.51

4,404,406.48

4,397,472.19

28,956.32

403.87




0.021

JAJO

(0.09
)
47,021.56

9/11/2013

2/8/2020

71722TAF1

PHEAA_04-1 ABS_04-1-A2
 
 
 
 
452,730

491,922.5

500,000

473,448.69

18,473.81

3,555.49





MJSD

1.79

1,386.18

2/6/2013

2/7/2020

71722TAG9

PHEAA_04-1 ABS_04-1-A3
 
 
 
 
1,177,098

1,268,025.2

1,300,000

1,219,840.8

48,184.4

2,300.99




0.034

FMAN

1.81

2,317

11/19/2013

9/1/2017

718172AG4

PHILIP MORRIS INTERNATIONAL IN CORP BND
 
 
 
 
6,752,028

5,976,405

5,900,000

5,949,818.18

26,586.82

(61,110.31
)



0.083

FMAN

2.87


2/15/2013

2/19/2019

718172AX7

PHILIP MORRIS INTERNATIONAL IN SENIOR
 
 
 
 
3,845,000

3,847,499.32

3,845,000

3,845,000

2,499.32





0.027

MJSD

0.46

3,066.73

11/18/2013

9/30/2019

718172BF5

PHILIP MORRIS INTERNATIONAL IN SENIOR
 
 
 
 
9,798,073.75

9,667,869.2

9,875,000

9,799,915.64

(132,046.44
)
1,841.89




0.26

MJSD

4.64


8/1/2013

11/24/2017

718546AJ3

PHILLIPS 66 CORP BND
 
 
 
 
1,674,798.35

1,741,570.23

1,675,000

1,674,876.11

66,694.12

8.93





MJSD

3.44

24,706.25

00/00/0000

00/00/0000

718546AE4

PHILLIPS 66 SENIOR CORP BND
 
 
 
 
3,273,920.3

3,319,595.69

3,275,000

3,274,410.52

45,185.17

126.02




0.258

MJSD

2.36


2/15/2013

1/31/2017

BRSG20AV3

PILOT TRAVEL CENTERS LLC SENIOR SECURED
 
 
 
 
1,557,410.18

1,629,027.67

1,627,026.43

1,572,905.46

56,122.21

3,166.45




0.193

FMAN

(0.03
)
15,605.64

10/30/2013

2/28/2020

73328WAB7

PILOT_12-1 ABS 12-1 144A
 
 
 
 
36,635.7

36,634.57

36,638.23

36,637.9

(3.33
)
1.81




0.084

MJSD

0.45

91.55

2/15/2013

2/20/2019

73328WAC5

PILOT_12-1 ABS 12-1 144A
 
 
 
 
1,749,708.45

1,748,879.95

1,750,000

1,749,896.19

(1,016.24
)
38.54




0.082

MJSD

0.6

2,362.5

11/20/2013

12/10/2018

BRSJ0MJU4

PINACLE FOOD FIN SECURED TERM LOAN
 
 
 
 
13,152,968.97

13,171,847.48

13,196,524.99

13,154,502.11

17,345.37

1,633.53





MJSD

0.03

98,555.84

00/00/0000

00/00/0000

BRSJYB2V7

PINNACLE ENTERTAINMENT INC. SENIOR
 
 
 
 
1,980,050

1,996,965

1,990,000

1,980,519.71

16,445.29

384.84




0.108

MJSD

(0.05
)
19,118.8

3/1/2013

3/8/2020

69349LAP3

PNC BANK NA SENIOR CORP BND
 
 
 
 
2,596,620

2,598,857.01

2,600,000

2,596,826.63

2,030.38

206.63





FMAN

1.16


2/25/2013

5/1/2016

69349LAN8

PNC BANK NA SENIOR CORP BND
 
 
 
 
4,695,676

4,723,407.13

4,700,000

4,696,167.16

27,239.97

364.75





MJSD

3.32


00/00/0000

00/00/0000

69349LAL2

PNC BANK NA SENIOR CORP BND
 
 
 
 
4,849,392

4,852,376.69

4,850,000

4,849,478.93

2,897.76

56.16




0.035

MJSD

1.56

7,235.88

3/1/2013

3/6/2020

69349LAJ7

PNC BANK NA SENIOR CORP BND
 
 
 
 
5,655,000

5,656,144.52

5,655,000

5,655,000

1,144.52





0.035

JAJO

1.62

8,202.23

3/7/2013

3/8/2020

69349LAH1

PNC BANK NA SENIOR CORP BND
 
 
 
 
6,438,647.6

6,418,128.34

6,440,000

6,439,061.9

(20,933.56
)
112.03




0.272

FMAN

2.9


5/29/2013

3/1/2020

73755LAG2

POTASH CORP OF SASKATCHEWAN IN CORP BND
 
A

 
 
1,776,592.85

1,735,509.28

1,655,000

1,737,857.76

(2,348.48
)
(11,992.72
)



0.331

MJSD

0.94


3/6/2013

9/15/2017

69353UAB7

PPL WEM HOLDINGS PLC CORP BND 144A
 
F

 
 
3,397,355

3,407,822.31

3,250,000

3,335,219.78

72,602.53

(8,931.68
)




MJSD

3.53

63,375

00/00/0000

00/00/0000

74005PBE3

PRAXAIR INC SENIOR CORP BND
 
 
 
 
10,143,707

10,135,883.79

10,150,000

10,145,499.52

(9,615.73
)
521.38




0.465

FMAN

2.45


6/19/2013

3/10/2017

740189AK1

PRECISION CASTPARTS CORP SENIOR CORP BND
 
 
 
 
4,518,122

4,421,929.14

4,525,000

4,519,497.05

(97,567.91
)
435.22




0.072

JAJO

3.68

8,972.22

3/13/2013

3/13/2020

74112WAC3

PRESTIGE AUTO RECEIVABLES TRUS ABS_13-1
 
 
 
 
634,707.31

636,422.17

634,771.75

634,726.59

1,695.58

8.64




0.057

MJSD

0.96

1,900.17

9/26/2013

3/27/2020

742651DE9

PRIVATE EXPORT FUNDING CORPORA AGENCY
 
 
 
 
915,990

863,369.98

750,000

873,536.56

(10,166.58
)
(8,336.21
)



0.18

MJSD

1.26


3/22/2013

11/10/2018






742651DH2

PRIVATE EXPORT FUNDING CORPORA AGENCY
 
 
 
 
4,868,226

4,701,752

4,600,000

4,691,963.94

9,788.06

(29,500.46
)




MJSD

0.48

70,150

00/00/0000

00/00/0000

742651DB5

PRIVATE EXPORT FUNDING CORPORA SECURED
 
 
 
 
1,646,955

1,624,575.01

1,500,000

1,550,855.88

73,719.13

(6,640.41
)




MJSD

0.49

37,125

00/00/0000

00/00/0000

742718DV8

PROCTER & GAMBLE COMPANY CORP BND
 
 
 
 
1,985,784

1,971,857.88

1,940,000

1,978,745.95

(6,888.07
)
(2,744.32
)




MJSD

1.63

(3,521.08
)
3/27/2013

3/27/2020

742718ED7

PROCTER & GAMBLE COMPANY SENIOR CORP BND
 
 
 
 
2,999,730

2,986,086.03

3,000,000

2,999,744.28

(13,658.25
)
14.28




0.215

JAJO

1.83


4/1/2013

4/2/2020

341099CQ0

PROGRESS ENERGY FLORIDA SECURED CORP BND
 
 
 
 
4,772,675.81

4,736,947.23

4,771,000

4,772,388.19

(35,440.96
)
(186.25
)



0.143

MJSD

2.07

15,505.75

4/5/2013

4/9/2020

743263AL9

PROGRESS ENERGY INC CORP BND
 
 
 
 
550,055

543,204.08

500,000

546,944.22

(3,740.14
)
(3,110.78
)



0.022

MJSD

1.32

(9,140.63
)
8/28/2013

4/16/2020

BRSE9C0N4

PROTECTION ONE INC. SENIOR SECURED TERM
 
 
 
 
1,501,129.79

1,513,990.7

1,514,369.28

1,504,362.76

9,627.94

507.89




0.083

JAJO


14,317.33

3/28/2013

4/2/2019

1107098Z8

PROVINCE OF BRITISH COLUMBIA CORP BND
 
A

 
 
5,465,645

5,584,464

5,400,000

5,458,106.6

126,357.4

(6,117.31
)




MJSD

1.3

56,700

00/00/0000

00/00/0000

1107098W5

PROVINCE OF BRITISH COLUMBIA CORP BND
 
A

 
 
17,125,425

16,845,563.96

16,250,000

16,688,415.23

157,148.73

(75,303.53
)




MJSD

0.65

231,562.5

00/00/0000

00/00/0000

69362BAS1

PSEG POWER LLC CORP BND
 
 
 
 
1,099,885.31

1,088,483.66

1,000,000

1,047,511.05

40,972.61

(4,259.86
)



0.112

MJSD

1.95


7/31/2013

10/28/2019

69362BAZ5

PSEG POWER LLC SENIOR CORP BND
 
 
 
 
49,925

49,234.68

50,000

49,927.04

(692.36
)
2.04




0.072

MJSD

2.79


8/19/2013

3/23/2018

74456QAY2

PUBLIC SERVICE ELECTRIC AND GA CORP BND
 
 
 
 
6,818,790.25

6,843,632.25

6,825,000

6,823,673.59

19,958.66

546.61





MJSD

1.64

1,770.83

00/00/0000

00/00/0000

74456QBE5

PUBLIC SERVICE ELECTRIC AND GA SECURED
 
 
 
 
3,898,908

3,936,866.9

3,900,000

3,898,973.1

37,893.8

55.46





MJSD

6.25


00/00/0000

00/00/0000

745190WA2

PUERTO RICO COMWLTH HWY & TRAN MUNI BND
 
R

 
 
53,825.5

53,546

50,000

53,514.09

31.91

(311.41
)



0.031

MJSD

0.26

(916.67
)
4/3/2013

10/3/2019

BRSK6KJF2

QUEBECOR MEDIA INC. SENIOR SECURED TERM
 
A

 
 
2,978,787.5

2,968,200.9

2,992,500

2,979,415.54

(11,214.64
)
533.35




0.034

MJSD

0.12

18,416.67

6/5/2013

4/25/2020

BRSKKW2C5

QUIKRETE HOLDINGS INC SENIOR SECURED
 
 
 
 
1,825,825

1,841,532.6

1,835,000

1,826,021.44

15,511.16

196.44





MJSD

(1.77
)
9,990.55

00/00/0000

00/00/0000

BRSLDR5F2

QUINTILES TRANSNATIONAL CORP. SENIOR
 
 
 
 
2,556,569.69

2,553,373.98

2,556,569.69

2,556,569.69

(3,195.71
)




0.205

MJSD

0.03


8/1/2013

3/11/2018

74977RCE2

RABOBANK NEDERLAND NV CORP BND 144A
 
F

 
 
1,598,896

1,640,984.01

1,600,000

1,599,721.13

41,262.88

58.32





MJSD

2.07


00/00/0000

00/00/0000

74977EPZ0

RABOBANK NEDERLAND NV SENIOR CORP BND
 
F

 
 
2,561,378.27

2,532,116.6

2,567,000

2,562,231.95

(30,115.35
)
277.1





MJSD

2.04


4/12/2013

4/20/2020

74977EPY3

RABOBANK NEDERLAND NV SENIOR CORP BND
 
F

 
 
15,295,023.5

15,332,127.44

15,275,000

15,291,682.93

40,444.51

(1,888.45
)



0.083

MJSD

3.33

28,258.06

4/10/2013

4/23/2019

BRSJ0UC66

RANPAK CORP SENIOR SECURED TERM NOTES
 
 
 
 
1,375,003.92

1,392,277.84

1,381,913.49

1,375,760.79

16,517.05

374.88





MJSD

(2.37
)
16,097.88

00/00/0000

00/00/0000

BRSLM7UC5

RAVEN POWER FINANCE LLC SENIOR SECURED
 
 
 
 
1,831,500

1,831,500

1,850,000

1,831,500






0.035

MJSD

0.14


4/23/2013

4/30/2020

76111XYJ6

RESIDENTIAL ASSET MORTGAGE PR CMO_05-SA4
 
 
 
 
827,313.05

796,237.8

857,319.22

831,748.53

(35,510.73
)
(34.12
)



0.036

JAJO

3.67

6,475.61

5/2/2013

5/3/2020

76112NAB0

RESIDENTIAL REINSURANCE 2012 L
 
F

 
 
4,000,000

4,434,720

4,000,000

4,000,000

434,720





0.52

JAJO

3.39

80,899.81

9/1/2013

5/1/2018

76112NAC8

RESIDENTIAL REINSURANCE 2012 L UNSECURED
 
F

 
 
5,000,000

5,897,850

5,000,000

5,000,000

897,850





0.108

JAJO

16.28

278,069.21

5/6/2013

12/31/2017

76117PAD6

RESIDENTIAL REINSURANCE 2013 L CORP BND
 
F

 
 
3,000,000

3,009,900

3,000,000

3,000,000

9,900






MJSD

5.24


00/00/0000

00/00/0000

761713AV8

REYNOLDS AMERICAN INC SENIOR CORP BND
 
 
 
 
748,942.5

751,820.53

750,000

749,351.99

2,468.54

88.54




0.075

MJSD

1.83

3,937.5

6/6/2013

1/31/2022

BRSLC7CV4

REYNOLDS GROUP HOLDINGS INC SENIOR
 
 
 
 
542,000.73

546,618.58

542,000.73

542,000.73

4,617.85





(0.031
)
MJSD

(2.07
)

8/15/2013

5/23/2019

BRSEYJRF9

RGIS SERVICES LLC TERM NOTES
 
 
 
 
1,847,543.55

1,838,212.52

1,866,205.6

1,852,756.13

(14,543.61
)
925.2





MJSD

0.39

26,297.3

00/00/0000

00/00/0000

76541VKB2

RICHMOND VA MUNITAX BND GO
 
 
 
 
1,500,000

1,511,535

1,500,000

1,500,000

11,535





0.071

MJSD

0.9


5/20/2013

5/22/2020

76541VKC0

RICHMOND VA MUNITAX BND GO
 
 
 
 
5,000,000

4,970,800

5,000,000

5,000,000

(29,200
)




0.054

MJSD

3.36


9/17/2013

5/14/2020

767201AJ5

RIO TINTO FINANCE (USA) LTD CORP BND
 
F

 
 
1,298,947

1,325,755.61

1,300,000

1,299,602.26

26,153.35

53.78





MJSD

0.79

12,187.5

00/00/0000

00/00/0000

767201AF3

RIO TINTO FINANCE (USA) LTD CORP BND
 
F

 
 
4,576,294

3,798,013

3,700,000

3,785,402.47

12,610.53

(64,909.15
)




FMAN

1.93

165,575

00/00/0000

00/00/0000

767201AM8

RIO TINTO FINANCE (USA) LTD CORP BND
 
F

 
 
4,651,892.5

4,780,859.08

4,625,000

4,649,360.53

131,498.55

(2,555.57
)



(1.364
)
MJSD

2.13

57,812.5

5/30/2013

3/23/2018






76720AAJ5

RIO TINTO FINANCE (USA) PLC CORP BND
 
F

 
 
2,125,000

2,140,087.48

2,125,000

2,125,000

15,087.48





0.143

MJSD

1.59

5,875.92

5/30/2013

3/15/2019

76720AAL0

RIO TINTO FINANCE (USA) PLC CORP BND
 
F

 
 
2,871,590.4

2,899,479.2

2,880,000

2,873,067.41

26,411.79

694.11




0.04

MJSD

1.1

19,580

12/16/2013

12/31/2019

76720AAB2

RIO TINTO FINANCE (USA) PLC SENIOR CORP
 
F

 
 
4,019,848

4,089,659.13

4,025,000

4,021,622.48

68,036.65

257.84





FMAN

2.95


5/23/2013

1/29/2021

BRSHB1YS0

RITE AID CORP SENIOR SECURED TERM LOAN
 
 
 
 
987,525.06

990,813.52

987,525.06

987,525.06

3,288.46





0.29

FMAN

(0.05
)
10,320.33

7/1/2013

7/1/2018

78008K5X7

ROYAL BANK OF CANADA CORP BND
 
A

 
 
4,502,835

4,503,690.05

4,500,000

4,500,294.13

3,395.92

(255.11
)



0.071

MJSD

0.27

6,527.4

12/2/2013

3/13/2020

78011DAE4

ROYAL BANK OF CANADA SECURED LOCAL BND
 
A

 
 
1,199,400

1,204,872.07

1,200,000

1,199,487.49

5,384.58

49.69





MJSD

1.93


11/27/2013

12/1/2018

78008SVD5

ROYAL BANK OF CANADA SENIOR CORP BND MTN
 
A

 
 
4,094,875

4,030,549.73

4,100,000

4,095,833.92

(65,284.19
)
249.13



1.389

1.393

MON

1.94


11/7/2013

11/21/2021

78008S7D2

ROYAL BANK OF CANADA SENIOR CORP BND MTN
 
A

 
 
5,060,900

5,013,466.65

5,000,000

5,058,774.04

(45,307.39
)
(2,125.96
)



0.072

MJSD

2.14

(27,194.44
)
12/18/2013

12/23/2020

78010UBY2

ROYAL BANK OF CANADA SENIOR CORP BND MTN
 
A

 
 
4,993,850

5,050,785.05

5,000,000

4,994,472.87

56,312.18

661.8




0.036

MJSD

1.07

9,465.28

11/21/2013

12/27/2020

78008SE28

ROYAL BANK OF CANADA SENIOR CORP BND MTN
 
A

 
 
13,250,000

13,275,705

13,250,000

13,250,000

25,705





0.144

MS

1.57

21,036.99

12/20/2013

12/23/2020

780099CC9

ROYAL BANK OF SCOTLAND PLC THE SENIOR
 
F

 
 
1,995,708

1,994,981.27

1,950,000

1,992,440.13

2,541.14

(3,267.87
)


0.707

0.743

JAJO

1.19

(7,735
)
4/26/2011

4/29/2014

BRSL8WGC2

RPI FINANCE TRUST SECURED TERM LOAN
 
 
 
 
4,894,597.82

4,912,952.56

4,894,597.82

4,894,597.82

18,354.74




2.5

2.544

JJ

(1.01
)
20,377.1

1/6/2012

1/11/2017

BRSHN4W46

RUBY WESTERN PIPELINE HOLDINGS SENIOR
 
 
 
 
1,935,687.02

1,942,370.85

1,942,973.17

1,935,984.19

6,386.66

495.26



2.55

2.593

JJ


3,649.39

1/5/2012

1/12/2017

78355HJR1

RYDER SYSTEM INC. CORP BND MTN
 
 
 
 
1,871,662.5

1,947,391.74

1,875,000

1,873,027.89

74,363.85

136.15



0.643

0.68

MJSD

2.32

32,812.5

3/8/2013

3/15/2016

78573AAB6

SABMILLER HOLDINGS INC SENIOR CORP BND
 
 
 
 
2,117,028

2,105,312.57

2,050,000

2,115,431.51

(10,118.94
)
(2,897.78
)


2.05

2.056

AO

4.61

(3,840.31
)
12/6/2013

10/30/2018

78573AAG5

SABMILLER HOLDINGS INC SENIOR CORP BND
 
 
 
 
3,000,000

3,014,850.09

3,000,000

3,000,000

14,850.09




1.1

1.11

JD

1.65

6,364.67

12/10/2013

12/13/2016

78572MAD7

SABMILLER PLC CORP BND 144A
 
F

 
 
6,725,979

6,431,940.25

5,700,000

6,324,992.61

106,947.64

(60,832.34
)


2.15

1.242

FA

2.53


5/24/2012

8/3/2016

BRSKM5SR1

SABRE INC SENIOR SECURED TERM NOTES
 
 
 
 
1,815,450

1,817,719.31

1,815,450

1,815,450

2,269.31




1.75

1.773

MS

(0.02
)
20,020

3/15/2012

3/22/2017

BRSHCGRY1

SABRE INC SENIOR SECURED TERM NOTES
 
 
 
 
5,295,865.87

5,357,979.2

5,322,478.27

5,299,612.57

58,366.63

1,179.98



2.5


MN

(4.64
)
71,590.24

00/00/0000

00/00/0000

BRSGWZFG1

SAGE PRODUCTS INC SENIOR SECURED TERM
 
 
 
 
979,117.17

992,716.02

989,007.24

980,527.29

12,188.73

1,219.96



2.55

2.681

MS

(0.06
)
11,872.86

4/18/2011

3/24/2016

BRSHMA6X8

SALEM COMMUNS CORP SENIOR SECURED TERM
 
 
 
 
825,912.19

832,826.61

830,062.5

826,338.93

6,487.68

161.01



1.6

1.605

MS

(2.05
)
9,466.28

2/28/2012

3/6/2017

BRSLJS0V4

SALIX PHARMACEUTICALS LTD. SENIOR
 
 
 
 
388,050

388,050

390,000

388,050





1.5

0.901

JD

0.08


4/16/2012

12/12/2014

796269UF3

SAN ANTONIO TEX INDPT SCH DIST MUNI BND
 
 
 
 
1,000,000

1,011,580

1,000,000

1,000,000

11,580




0.9

0.856

AO

0.37


12/3/2013

10/1/2015

80105NAC9

SANOFI SA CORP BND
 
F

 
 
270,000

270,413.12

270,000

270,000

413.12




1.35

1.371

JJ

(0.08
)
380.88

7/15/2013

7/18/2016

801060AB0

SANOFI SA SENIOR CORP BND
 
F

 
 
13,953,474.15

13,638,208.97

14,015,000

13,962,183.84

(323,974.87
)
3,034.06



0.766

0.786

JAJO

11.45

87,593.75

7/15/2013

7/18/2016

BRSHG9DW2

SAXON ENERGY SERVICES INC SENIOR SECURED
 
A

 
 
1,422,054

1,440,519.26

1,429,200

1,423,064.72

17,454.54

317.21



1.45

1.21

JD

(0.15
)
20,138.8

2/21/2013

12/15/2016

BRSFUUMM5

SBA SENIOR FINANCE II LLC SENIOR SECURED
 
 
 
 
354,684.17

357,500.31

355,573.1

354,840.75

2,659.56

32.23



1.45

1.473

MN

(0.09
)
3,444.6

11/2/2012

11/7/2017

BRSCDKB78

SBA SENIOR FINANCE II LLC TERM LOAN
 
 
 
 
972,419.12

977,907.56

974,856.26

973,284.45

4,623.11

88.1



3.75

0.85

MS

(0.07
)
9,240.83

3/1/2013

9/30/2015

806854AA3

SCHLUMBERGER GER INV CORP BND 144A
 
F

 
 
1,503,915

1,531,203.36

1,500,000

1,503,586.08

27,617.28

(334.38
)


0.544

0.553

JAJO

5.83


6/20/2011

4/17/2014

806854AC9

SCHLUMBERGER GER INV SENIOR CORP BND
 
F

 
 
5,922,669

5,896,796.37

5,875,000

5,892,250.44

4,545.93

(6,238.86
)


2.2

1.93

JJ

0.8

11,968.17

10/23/2013

7/27/2018

80685PAC2

SCHLUMBERGER NORGE AS CORP BND 144A
 
F

 
 
1,622,156.25

1,658,803.62

1,625,000

1,623,430.47

35,373.15

143.78



0.612

0.65

MJSD

4.66


3/5/2013

3/8/2016

80685PAD0

SCHLUMBERGER NORGE AS SENIOR CORP BND
 
F

 
 
1,368,739.6

1,346,880.62

1,370,000

1,369,089.09

(22,208.47
)
61.98



1.5

1.526

JJ

1.74


1/7/2013

1/16/2018

80705TAA4

SCHOL_11-A ABS 11-A A 144A
 
 
 
 
1,949,142.91

1,990,533.18

1,988,385.68

1,954,229.11

36,304.07

1,862.09



1.45

1.492

MS

1.13

6,035.09

9/4/2013

9/9/2016

80705WAA7

SCHOL_12-B ABS 12-B 144A
 
 
 
 
481,440.31

479,363.7

482,822.15

481,905.6

(2,541.9
)
523.43



1.125

1.142

JJ

1.38

795.49

7/16/2013

7/22/2016






80705XAA5

SCHOL_13-A ABS 13-A 144A
 
 
 
 
2,496,661.88

2,486,492.15

2,508,567.55

2,497,188.56

(10,696.41
)
259.86



1.5

1.571

MS

1.76

5,235.94

3/5/2012

3/13/2017

80283DAC5

SDART_13-2 ABS_13-2 A3
 
 
 
 
1,204,793.1

1,204,626.47

1,205,000

1,204,880.42

(253.95
)
33.8



0.544

0.549

JAJO

0.72

2,108.76

7/7/2011

7/14/2014

80283GAC8

SDART_13-3 ABS 13-3
 
 
 
 
594,988.34

594,042.03

595,000

594,989.03

(947
)
(0.41
)


2.375

1.041

AO

0.78

1,041.24

2/22/2013

10/19/2016

80283GAB0

SDART_13-3 ABS_13-3-A2
 
 
 
 
3,490,572.78

3,489,665.25

3,490,782.23

3,490,653.34

(988.09
)
52.81



1.4

1.414

AO

0.57

5,775.25

4/23/2013

4/30/2018

80283HAB8

SDART_13-4 ABS 13-4 A2
 
 
 
 
1,053,085.48

1,054,921.59

1,053,173.32

1,053,117.61

1,803.98

20.51



0.624

0.683

JAJO

0.77

2,425.26

1/10/2013

1/15/2016

80281CAD7

SDART_13-5 ABS 13-5 A2A
 
 
 
 
304,996.49

304,621.8

305,000

304,996.53

(374.73
)
0.04



0.875

1.001

MS

0.88

173.68

2/28/2012

3/2/2015

80283JAC2

SDART_13-A ABS 13-A A3 144A
 
 
 
 
3,499,742.4

3,511,970.11

3,500,000

3,499,780.79

12,189.32

28.77



2.7

2.486

AO

0.86

8,925

10/18/2012

10/25/2017

BRSJ9AUR5

SEAWORLD PARKS & ENTERTAINMENT SENIOR
 
 
 
 
3,401,688.74

3,371,511.12

3,414,188.48

3,402,318.16

(30,807.04
)
488.29





JAJO

0.19

26,241.21

00/00/0000

00/00/0000

BRSJ0VL80

SEMINOLE TRIBE OF FLORIDA SENIOR SECURED
 
 
 
 
3,159,912.5

3,152,992.29

3,159,912.5

3,159,912.5

(6,920.21
)





MJSD

0.03

24,673.44

00/00/0000

00/00/0000

BRSGCQN17

SEQUA CORP SENIOR SECURED TERM LOAN
 
 
 
 
1,776,700.2

1,740,023.39

1,785,628.34

1,778,682.8

(38,659.41
)
680.22




0.083

MJSD

0.74

37,954.52

2/13/2013

2/15/2019

BRSBT4DY8

SERENA SOFTWARE TERM LOAN
 
 
 
 
1,808,725.12

1,797,349.49

1,820,100.75

1,814,881.64

(17,532.15
)
790.62



2

0.746

JD

0.57

14,231.3

4/3/2013

12/5/2014

BRSHDAGH2

SERVICEMASTER CO SENIOR SEC TERM NOTES
 
 
 
 
2,860,287.4

2,859,565.1

2,889,179.19

2,865,935.65

(6,370.55
)
6,425.02



2.124

1.995

FMAN

0.33

83,133.12

11/27/2013

2/10/2015

BRSH8YLF4

SESAC HOLDCO II LLC SENIOR SECURED TERM
 
 
 
 
441,045

447,170.63

445,500

441,672.28

5,498.35

198.22



4.75

0.486

MS

(3.26
)
6,465.77

11/22/2013

9/7/2015

P8588FAD4

SEVEN SEAS CRUISES S DE RL SENIOR
 
 
 
 
2,656,375

2,682,938.75

2,656,375

2,656,375

26,563.75




0.754

0.76

FMAN

(0.2
)

11/27/2013

2/15/2016

822582AF9

SHELL INTERNATIONAL FINANCE BV CORP BND
 
F

 
 
4,487,580.5

4,282,725

4,250,000

4,263,401.91

19,323.09

(15,607.27
)


0.974

0.924

FMAN

0.53


11/27/2013

2/15/2016

822582AQ5

SHELL INTERNATIONAL FINANCE BV CORP BND
 
F

 
 
6,148,980

6,228,271.62

6,000,000

6,066,813.29

161,458.33

(11,195.82
)


1.125

1.225

MAR

0.54

93,000

3/20/2013

3/29/2016

822582BC5

SHELL INTERNATIONAL FINANCE BV SENIOR
 
F

 
 
274,000

274,232.9

274,000

274,000

232.9




4

0.764

MS

0.42


11/29/2013

9/7/2016

822582AZ5

SHELL INTERNATIONAL FINANCE BV SENIOR
 
F

 
 
499,380

499,777.68

500,000

499,406.52

371.16

26.52



0.924

0.9

FMAN

0.92


11/13/2013

5/16/2016

BRSHAG9G2

SILVER II BORROWER SCA SENOIR SECURED
 
R

 
 
3,481,040.92

3,484,661.2

3,481,040.92

3,481,040.92

3,620.28




5.375

5.107

NOV

(0.09
)
36,219.89

11/6/2009

11/11/2016

G8162ZAD4

SILVERSTONE MASTER ISSUER PLC ABS_09-1
 
D

 
 
833,161.5

919,413.71

510,000

833,161.5

86,252.21



11,526

1.5

1.529

APR

4.46

19,697.78

11/25/2013

4/4/2017

828807CC9

SIMON PROPERTY GROUP LP CORP BND
 
 
 
 
2,235,849.5

2,211,225.55

2,150,000

2,215,477.25

(4,251.7
)
(19,523.41
)


4.75

3.077

APR

1.53


11/27/2013

4/12/2018

828807CM7

SIMON PROPERTY GROUP LP SENIOR CORP BND
 
 
 
 
7,122,493.25

6,913,147.82

7,145,000

7,126,961.94

(213,814.12
)
1,066.68



1.5

1.539

MN

2.34


5/8/2013

5/15/2018

BRSDKUDY5

SIX FLAGS THEME PARKS INC TERM LOAN
 
 
 
 
2,839,543.13

2,846,161.43

2,840,593.87

2,839,771.48

6,389.95

49.06




0.087

MJSD

(0.4
)
31,349.15

6/18/2013

4/30/2019

830505AP8

SKANDINAVISKA ENSKILDA BANKEN SENIOR
 
F

 
 
4,971,250

4,912,247.1

5,000,000

4,975,604.43

(63,357.33
)
1,413.96



1

1.226

MS

2.19


11/25/2013

9/7/2017

784423AF2

SLCLT_04-1 ABS 04-1
 
 
 
 
983,750

978,960

1,000,000

985,535.97

(6,575.97
)
738.46



1.25

1.544

JJ

0.85

1,084.07

11/29/2013

7/22/2018

78442GJA5

SLM STUDENT LOAN TR 2003-10A 03-10A A1E
 
 
 
 
249,968.75

250,000

250,000

249,994.81

5.19

1.49




0.195

MJSD

4.98

1,550.88

9/30/2013

7/3/2019

78442GJD9

SLM STUDENT LOAN TR 2003-10A ABS_03-10A
 
 
 
 
50,000

50,000

50,000

50,000






0.049

MJSD

1.66

194.12

8/14/2013

7/22/2020

78446XAA3

SLM STUDENT LOAN TRUST ABS 12-B 144A
 
 
 
 
518,811.14

521,213.22

518,811.14

518,811.14

2,402.08





0.072

JAJO

1.16

1,802.85

8/28/2013

7/10/2020

78446XAB1

SLM STUDENT LOAN TRUST ABS_12-B A2 144A
 
 
 
 
999,897.3

1,044,487

1,000,000

999,915.33

44,571.67

4.15





MJSD

2.93

8,700

00/00/0000

00/00/0000

78442GSC1

SLM STUDENT LOAN TRUST SLMA_06
 
 
 
 
183,565.68

182,917.96

183,855.63

183,649.11

(731.15
)
30.97



1.038

1.038

JAJO

0.5

175.15

10/23/2013

10/28/2016

78446JAA4

SLM STUDENT LOAN TRUST SLMA_11 ABS 11-2
 
 
 
 
8,160,189.76

8,205,472.87

8,176,039.04

8,163,820.81

41,652.06

901.04



1.125

1.137

MS

3.57

16,610.83

3/20/2013

3/24/2016

78447FAB9

SLM STUDENT LOAN TRUST SLMA_12 ABS_12-E
 
 
 
 
816,500

784,249.6

800,000

814,062.99

(29,813.39
)
(761.63
)


3.2

3.211

MN

2.24

4,179.99

10/26/2009

11/3/2014

78447VAA6

SLM STUDENT LOAN TRUST SLMA_13 ABS 13-B
 
 
 
 
2,377,191

2,376,002.34

2,377,191

2,377,191

(1,188.66
)



1.244

1.256

MJSD

1.66

5,104.2

9/5/2013

9/12/2016

78447CAA8

SLM_12-D ABS 12-D 144A
 
 
 
 
592,955.01

595,356.47

592,955.01

592,955.01

2,401.46




9.375

2.197

AO

1.13

1,952.07

10/19/2010

4/8/2014






78442GHX7

SLMA ABS 03-10A A1B 144A
 
 
 
 
150,000

150,000

150,000

150,000


3.93



2.625

2.672

AO

3.33

552.76

3/26/2012

4/3/2017

78442GHZ2

SLMA ABS 03-10A A1D 144A
 
 
 
 
499,015.62

500,000

500,000

499,898.87

101.13

28.85



1

1.067

AO

5.02

1,296.16

9/4/2012

10/6/2015

78442GJB3

SLMA ABS 03-10A A1F 144A
 
 
 
 
425,000

425,000

425,000

425,000





2.875

2.911

AO

0.5

1,602.98

10/6/2011

10/15/2016

78442GHY5

SLMA ABS 03-10A-A1C
 
 
 
 
300,000

302,037

300,000

300,000

2,037




5.25

0.736

JD

1.43

(781.13
)
2/27/2013

12/15/2015

784442AC9

SLMA ABS 08_2 A3
 
 
 
 
1,484,824.22

1,504,199.99

1,500,000

1,488,438.78

15,761.21

524.73



5.5

2.518

AO

0.93

3,894.28

4/16/2010

4/1/2014

78444YAB1

SLMA ABS 08-5 A2
 
 
 
 
456,406.89

449,903.11

449,435.72

450,016.3

(113.19
)
(823.2
)


0.508

0.582

FMAN

2.54

2,759.91

1/9/2013

2/18/2014

78444YAC9

SLMA ABS 08-5 A3
 
 
 
 
13,936,144.69

13,837,356.79

13,691,000

13,770,128.81

67,227.98

(12,913.71
)


1

1.071

FA

3.06

54,787.89

2/21/2012

2/24/2015

78444YAD7

SLMA ABS 08-5 A4
 
 
 
 
2,457,718.75

2,463,669.45

2,350,000

2,421,916.96

41,752.49

(2,512.69
)


1.625

1.682

FA

1.84

11,806.32

2/21/2012

2/24/2017

78442GJC1

SLMA ABS_03-10A AIG 144A
 
 
 
 
100,000

100,000

100,000

100,000





3.125

3.187

AO

3.32

649.13

9/28/2010

10/1/2015

78442GMK9

SLMA ABS_04-7 A5
 
 
 
 
1,915,869.35

1,911,065.47

1,927,312.76

1,920,778.41

(9,712.94
)
732.43



2.248

2.143

MN

0.68

2,291.67

11/1/2011

11/1/2016

78442GQP4

SLMA ABS_05-8 A3
 
 
 
 
3,580,879.4

3,635,317.12

3,646,219.46

3,620,374.26

14,942.86

3,332.89



1.7

1.702

JD

1.21

3,660.02

12/1/2011

12/5/2014

78445XAA4

SLMA_10-1 ABS 10-1A
 
 
 
 
3,525,862.11

3,506,348.25

3,517,851.73

3,525,213.59

(18,865.34
)
(535.31
)


1.846

1.846

MN

1.25

5,289.86

5/2/2012

5/5/2017

78446JAB2

SLMA_11-2 ABS 11-2
 
 
 
 
6,575,000

6,575,000

6,575,000

6,575,000





1.375

1.617

MN

2.74

23,046.54

8/21/2013

11/6/2017

78447AAA2

SLMA_12-3 ABS_12-3 A
 
 
 
 
1,607,850.9

1,614,925.48

1,607,850.9

1,607,850.9

7,074.58




1.375

1.433

MN

1.49

3,431.58

5/7/2013

5/10/2018

78447EAB2

SLMA_12-5 ABS 12-5
 
 
 
 
5,291,230.62

5,293,799.16

5,300,000

5,295,266.85

(1,467.69
)
610.26



0.749

0.785

FMAN

0.51

6,387.43

5/7/2013

5/10/2018

78447KAB8

SLMA_12-7 ABS 12-7
 
 
 
 
3,997,370

3,987,479.84

4,000,000

3,998,343.19

(10,863.35
)
230.2



2.241

2.241

MS

0.55

5,001.29

9/23/2013

9/26/2018

78446VAA7

SLMA_12-A ABS 12-A 144A
 
 
 
 
4,364,739.76

4,406,641.22

4,364,739.76

4,364,739.76

41,901.46




5.2

3.869

JJ

2.82

18,199.92

10/21/2009

7/10/2014

78447FAA1

SLMA_12-E ABS 12-E 144A
 
 
 
 
2,395,952.4

2,397,112.36

2,395,603.04

2,395,940.19

1,172.17

(20.26
)


5

1.329

MS

4.53

5,147.13

2/21/2013

9/22/2016

78448AAA1

SLMA_13-4 ABS 13-4
 
 
 
 
728,555.19

726,886.83

728,555.19

728,555.19

(1,668.36
)



5.125

2.924

JJ

1.5

1,363.12

11/27/2013

1/8/2020

78448BAA9

SLMA_13-5 ABS 13-5 A1
 
 
 
 
585,892.8

585,910.37

585,892.8

585,892.8

17.57




2.25

2.352

MN

0.42

800.97

5/2/2012

5/10/2017

78448CAF6

SLMA_13-6 ABS 13-6 A2
 
 
 
 
550,000

550,010.99

550,000

550,000

10.99




1.043

0.548

MJSD

0.67


4/10/2013

9/18/2015

78447RAB3

SLMA_13-A ABS 13-A 144A
 
 
 
 
459,870.23

446,177.01

460,000

459,887.94

(13,710.93
)
5.04



1.5

1.389

MN

3.14

2,035.5

9/25/2012

5/11/2017

78447RAA5

SLMA_13-A ABS 13-A 144A
 
 
 
 
622,973.94

622,799.29

623,753.63

622,995.36

(196.07
)
34.95



3.875

0.667

FA

0.8

270.63

6/4/2013

8/18/2014

78447RAC1

SLMA_13-A ABS 13-A 144A
 
 
 
 
2,425,000

2,382,184.2

2,425,000

2,425,000

(42,815.8
)



0.625

0.687

AO

4.5

7,505.92

4/24/2013

4/29/2016

78447VAB4

SLMA_13-B ABS_13-B-A2A
 
 
 
 
804,859.37

776,325.93

805,000

804,873.19

(28,547.26
)
5.07



1.125

1.243

AO

4.48

3,723.15

4/24/2013

4/29/2018

78447VAC2

SLMA_13-B ABS_13-B-A2B
 
 
 
 
615,000

603,685.23

615,000

615,000

(11,314.77
)



2.1

1.916

AO

1.51

1,981.29

11/14/2012

10/14/2015

BRSL51FK6

SNADY CREEK ENERGY ASSOC LP SENIOR
 
 
 
 
5,522,250

5,543,839.5

5,550,000

5,522,469.36

21,370.14

219.36



5.815

5.912

MJSD

0.02

14,645.83

3/1/2011

3/14/2016

BRSG3S869

SNL FINANCIAL LC SENIOR SECURED TERM
 
 
 
 
3,937,460.88

3,965,112

3,965,112

3,942,486.43

22,625.57

1,267.45



5.066


JAJO


36,489.17

7/26/2012

2/7/2017

83714RAX1

SOUTH CAROLINA STUDENT LN CORP
 
 
 
 
452,271.78

456,613.7

457,345.45

456,831.87

(218.17
)
364.23



3.875

3.547

AO

0.42

642.33

3/30/2010

10/7/2014

842808AF4

SOUTHERN ELEC SENIOR CORP BND 144A
 
 
 
 
3,333,899.45

3,278,999.38

3,335,000

3,333,919.69

(54,920.31
)
20.24



4.375

1.854

JJ

2.57


4/4/2013

7/8/2014

84650WAD8

SPAREBNK 1 BOLIG LOCAL BND 144A
 
F

 
 
5,486,580

5,650,094.78

5,500,000

5,490,809.55

159,285.23

630.93



2.125

2.197

MS

2.99

63,250

9/7/2010

9/16/2015

84650WAE6

SPAREBNK 1 BOLIG SECURED LOCAL BND 144A
 
F

 
 
5,854,157

5,605,117.94

5,900,000

5,861,145.53

(256,027.59
)
1,575.84



2.5

2.596

JJ

5.35

51,625

5/22/2013

1/15/2019

84650WAB2

SPAREBNK 1 BOLIG SECURED LOCAL BND 144A
 
F

 
 
7,999,374.1

8,112,546.31

7,800,000

7,939,276.95

173,269.36

(14,399.05
)


1.5

1.575

MN

0.94

102,375

5/2/2012

5/8/2017

30250GAA6

SSGN_10-S1 CMO_10-S1-1A 144A
 
 
 
 
512,439.22

513,822.8

512,439.22

512,439.22

1,383.58




0.8

0.818

AO

1.41

1,014.98

10/7/2013

10/1/2015






790849AH6

ST JUDE MEDICAL INC CORP BND
 
 
 
 
2,056,740

2,057,701.88

2,000,000

2,050,196.37

7,505.51

(6,080.95
)


3.1

1.645

MN

1.07


6/24/2013

5/24/2016

W86201RD9

STADSHYPOTEK AB SECURED LOCAL BND
 
D

 
 
2,565,994.39

2,679,169.32

1,620,000

2,566,035.46

113,133.86

41.07


116,236.15

1.5

1.916

MN

1.65

2,698.85

9/17/2013

5/15/2018

BRSJH5B15

STAR WEST GENERATION LLC SENIOR SECURED
 
 
 
 
2,845,470.34

2,883,360.69

2,858,350.13

2,845,638.48

37,722.21

457.95



1.642

1.652

MJSD

(4.31
)
52,845.28

6/1/2011

6/9/2014

BRSJ08S50

STARWOOD PROPERTY TRUST INC SECURED TERM
 
 
 
 
2,436,587.5

2,444,252.34

2,448,831.66

2,436,635.14

7,617.2

78.48



2

2.1

MS

0.03

1,909.44

9/18/2012

9/25/2015

857477AJ2

STATE STREET BOSTON CORP CORP BND
 
 
 
 
5,000,000

4,999,129.2

5,000,000

5,000,000

(870.8
)



1.192

1.231

MJSD

0.69

7,685.71

2/28/2013

3/7/2016

857477AK9

STATE STREET BOSTON CORP SENIOR CORP BND
 
 
 
 
3,246,880

3,150,292.22

3,250,000

3,247,261.59

(96,969.37
)
153.07



1.375

1.446

MS

6.26

21,937.5

2/28/2013

3/7/2016

85771SAB2

STATOILHYDRO ASA CORP BND
 
F

 
 
3,355,967.25

3,255,877.77

3,225,000

3,234,778.64

21,099.13

(8,625.07
)


2.875

2.799

JJ

0.55

62,484.38

12/12/2013

1/15/2019

85771PAR3

STATOILHYDRO ASA SENIOR CORP BND
 
F

 
 
4,793,184

4,760,820.58

4,800,000

4,793,378.45

(32,557.87
)
194.45



18.058

18.421

MJSD

4.26


12/22/2011

1/9/2014

85771PAD4

STATOILHYDRO ASA SENIOR CORP BND
 
F

 
 
6,102,240

6,130,415.94

6,000,000

6,083,356.77

47,059.17

(7,169.35
)


1.625

1.685

JD

2.07

54,000

6/26/2012

6/29/2017

85771PAJ1

STATOILHYDRO ASA SENIOR CORP BND
 
F

 
 
8,980,380

8,707,819.96

9,000,000

8,982,788.7

(274,968.74
)
965.97



2.5

2.6

MN

7.71

51,750

5/7/2013

5/16/2018

863667AC5

STRYKER CORP CORP BND
 
 
 
 
517,415

513,984.8

500,000

516,696.15

(2,711.35
)
(718.85
)


5

2.872

AO

0.97

(1,361.11
)
10/10/2013

4/15/2019

BRSGF9UP1

SUNGARD DATA SYST INC. SENIOR SECURED
 
 
 
 
910,800

914,598.04

910,800

910,800

3,798.04




5

5.015

FA

(0.07
)
23,444.55

2/14/2012

2/22/2017

BRSHJ8GU2

SUNGARD DATA SYST INC. SENIOR SECURED
 
 
 
 
6,902,924.44

6,963,476.41

6,920,225

6,904,830.22

58,646.19

626.24



12.142

12.481

MJSD

(3.22
)
70,009.8

11/30/2012

1/8/2014

BRS1D0A10

SUNGARD DATA SYST INC. TERM LOAN
 
 
 
 
875,281.01

898,100.1

895,485.28

894,143.05

3,957.05

2,125.84



16.642

17.115

MJSD

(1.78
)
2,924.13

11/30/2012

1/8/2014

86960BAF9

SVENSKA HANDELSBANKEN AB SENIOR CORP BND
 
F

 
 
5,000,000

5,005,450.45

5,000,000

5,000,000

5,450.45




1.144

1.203

JAJO

0.68

8,907.42

1/11/2011

1/14/2014

86960BAE2

SVENSKA HANDELSBANKEN AB SENIOR CORP BND
 
F

 
 
5,000,470

5,026,638.4

5,000,000

5,000,382.9

26,255.5

(81.77
)


1.4

1.354

JJ

2.39


7/23/2012

7/18/2017

87020LAB2

SWEDBANK HYPOTEK AB CORP BND 144A
 
F

 
 
3,700,000

3,701,669.07

3,700,000

3,700,000

1,669.07




1.625

1.701

MN

0.51

6,528.92

5/30/2013

5/15/2018

87020DAL8

SWEDEN KINGDOM CORP BND MTN 144A
 
F

 
 
2,695,518

2,714,229

2,700,000

2,695,975.97

18,253.03

342.26



0.875

0.944

MN

1.63

5,617.67

5/7/2013

5/13/2016

87020DAF1

SWEDEN KINGDOM SENIOR GOVT BND 144A MTN
 
F

 
 
4,989,300

4,898,249.8

5,000,000

4,991,070.22

(92,820.42
)
565.24



3.9

2.731

MN

1.51

5,694.44

3/9/2012

5/1/2016

BRSEM91J4

SYNIVERSE HLDGS SENIOR SEC TERM NOTES
 
 
 
 
2,812,674.91

2,843,756.39

2,841,085.77

2,819,442.17

24,314.22

993.84



1.3

1.335

MN

(0.02
)
33,935.2

11/5/2013

11/8/2016

871829AP2

SYSCO CORP CORP BND
 
 
 
 
1,241,487.5

1,251,334.95

1,250,000

1,245,875.11

5,459.84

713.31



2.3

2.33

MN

0.48

3,437.5

11/5/2013

11/8/2018

874060AB2

TAKEDA PHARMACEUTICAL CO LTD UNSECURED
 
F

 
 
8,819,922.5

8,719,258.28

8,750,000

8,802,567.44

(83,309.16
)
(4,076.43
)


0.723

0.708

MJSD

1.74


7/17/2013

3/18/2016

BRSLECLK5

TALLGRASS OPERATIONS LLC SENIOR SECURED
 
 
 
 
1,194,000

1,206,372

1,200,000

1,194,043.46

12,328.54

43.46



3.2

3.215

MS

(0.11
)

3/4/2010

3/11/2015

89236PAD5

TAOT_12-A ABS 12-A
 
 
 
 
749,928.68

754,860.02

750,000

749,959.26

4,900.76

3.51



22

22

MJSD

0.63

1,856.25

5/18/2012

6/6/2018

89231NAC7

TAOT_12-B ABS 12-B
 
 
 
 
3,999,619.6

3,997,439.88

4,000,000

3,999,815.8

(2,375.92
)
38.92



5.306

5.306

MJSD

0.51

4,599.99

11/18/2013

12/6/2019

89236VAC4

TAOT_13-B ABS 13-B A3
 
 
 
 
764,963.51

767,080.82

765,000

764,965.91

2,114.91

1.98



8.95

1.92

MN

1.47

1,645.38

10/28/2010

5/1/2014

87609FAA6

TAR HEEL RE LTD UNSEC CORP BND 144A
 
F

 
 
7,000,000

7,450,310

7,000,000

7,000,000

450,310




1.875

1.892

MN

5.7

150,402.78

10/28/2010

11/2/2015

87612EAX4

TARGET CORPORATION CORP BOND
 
 
 
 
2,004,676

2,002,019.96

2,000,000

2,001,839

180.96

(853.83
)


2.5

2.268

MN

0.23

2,229.47

2/21/2013

5/20/2016

BRSCDUPD8

TEAM HLTH INC. TERM LOAN
 
 
 
 
3,783,487.51

3,802,880.26

3,802,500.01

3,790,222.98

12,657.28

720.78



2

2.027

MS


36,534.06

3/19/2012

3/22/2017

BRSE99EZ9

TELESAT CANADA / TELESAT LLC SENIOR
 
A

 
 
7,878,080.39

7,914,252.45

7,897,824.97

7,880,433.32

33,819.13

881.78



1.084

1.113

MJSD

(0.81
)
70,819.6

6/14/2013

6/17/2016

Z91GFLXY5

TEMSE_1 ABS 1 A
 
D

 
 
1,248,119.56

1,288,334.67

777,862.68

1,248,119.56

40,215.11



40,215.5

1.375

1.475

JD

1.39

1,986.62

6/14/2013

6/17/2016

BRSHBW711

TERVITA CORP SENIOR SECURED TERM LOAN
 
A

 
 
1,513,165.5

1,533,234.05

1,528,450

1,515,541.07

17,692.98

775.63



6.5

1.976

JJ

(2.73
)
23,942.19

10/4/2012

7/1/2016

G87623JG3

TESCO PLC SENIOR CORP BND
 
F

 
 
1,020,620

1,011,507.47

1,000,000

1,011,544.05

(36.58
)
(3,124.79
)


0.557

0.618

MJSD

0.76

10,000

3/22/2011

3/28/2014

88165FAC6

TEVA PHARMAC FIN CORP BND
 
F

 
 
2,501,975

2,565,275

2,500,000

2,501,161.27

64,113.73

(98.93
)


1.25

1.341

AO

1.46

30,000

4/3/2013

4/10/2018






88166CAA6

TEVA PHARMACEUTICAL FINANCE II CORP BND
 
F

 
 
3,995,040

4,127,787.72

4,000,000

3,998,476.48

129,311.24

(16,334.44
)


1.95

1.858

MS

0.79

128,250

3/22/2013

9/14/2016

882117V27

TEXAS A & M UNIVERSITY MUNITAX BND REV
 
 
 
 
1,000,000

1,008,360

1,000,000

1,000,000

8,360




0.792

0.547

MJSD

0.9


2/26/2013

9/12/2014

882508AT1

TEXAS INSTRUMENTS INCORPORATED SENIOR
 
 
 
 
1,544,853

1,547,163.28

1,550,000

1,547,084.33

78.95

456.07



1.95

1.987

MS

0.57


9/7/2011

9/14/2016

882508AV6

TEXAS INSTRUMENTS INCORPORATED SENIOR
 
 
 
 
1,981,400

1,920,783.24

2,000,000

1,983,762.21

(62,978.97
)
922.01



1.25

1.269

FA

3.92

9,611.11

7/24/2012

8/1/2017

883556BA9

THERMO FISHER SCIENTIFIC INC CORP BND
 
 
 
 
648,869

668,146.51

650,000

649,390.5

18,756.01

56.24



4

2.537

MS

1.17


3/2/2010

3/21/2014

883556BE1

THERMO FISHER SCIENTIFIC INC SENIOR CORP
 
 
 
 
2,195,512

2,186,603.5

2,200,000

2,195,544.45

(8,940.95
)
32.45



0.9

0.942

MN

2.53


11/12/2013

11/15/2016

883556BD3

THERMO FISHER SCIENTIFIC INC SENIOR CORP
 
 
 
 
4,962,070.65

4,956,634.22

4,965,000

4,962,112.7

(5,478.48
)
42.05



3.1

2.329

JD

1.36


2/14/2012

6/28/2015

880591EQ1

TN VLY AUTHORITY SENIOR AGENCY BND
 
 
 
 
4,979,185.72

4,978,335.41

5,003,000

4,980,378.4

(2,042.99
)
1,146.73



0.451

0.451

FMAN

5.57


11/12/2013

11/15/2016

BRSG6SMY9

TOMKINS PLC SENIOR SECURED TERM NOTES
 
R

 
 
2,469,898.78

2,507,321.49

2,494,847.25

2,474,397.49

32,924

1,110.44



1.75

1.871

MS

(0.1
)
29,926.36

3/13/2013

3/19/2018

BRSBN61P1

TOMKINS PLC TERM LOAN
 
R

 
 
2,466,104.52

2,545,416.56

2,540,335.89

2,499,681.07

45,735.49

3,699.76



2.625

1.855

MN

(0.07
)
24,344.89

12/6/2012

5/27/2016

89114QAC2

TORONTO-DOMINION BANK/THE CORP BND
 
A

 
 
2,300,000

2,304,048.07

2,300,000

2,300,000

4,048.07




1.75

1.869

MN

0.22

3,339.17

11/7/2012

11/15/2019

89114QAE8

TORONTO-DOMINION BANK/THE CORP BND
 
A

 
 
5,237,900

5,187,123.85

5,000,000

5,183,366.5

3,757.35

(16,307.81
)


2.5

2.498

JJ

1.02

59,375

9/19/2013

1/25/2019

891145TN4

TORONTO-DOMINION BANK/THE SECURED LOCAL
 
A

 
 
1,594,560

1,618,128.05

1,600,000

1,596,474.21

21,653.84

273.21



0.716

0.721

MJSD

1.14


9/19/2013

9/23/2016

89114QAG3

TORONTO-DOMINION BANK/THE SENIOR CORP
 
A

 
 
2,938,030.2

2,868,622.15

2,940,000

2,938,287.5

(69,665.35
)
96.74



0.697

0.758

MJSD

1.99

20,580

3/21/2011

3/28/2014

89153UAD3

TOTAL CAPITAL CANADA LTD SENIOR CORP BND
 
A

 
 
2,000,000

2,010,580.14

2,000,000

2,000,000

10,580.14




1.625

1.639

AO

0.37

3,312.51

3/27/2013

4/3/2018

89153VAA7

TOTAL CAPITAL INTERNATIONAL SA CORP BND
 
F

 
 
3,310,503

3,341,462.15

3,325,000

3,315,798.51

25,663.64

716.11



1.625

1.432

MS

2.68


3/19/2013

3/17/2017

89153VAC3

TOTAL CAPITAL INTERNATIONAL SA CORP BND
 
F

 
 
5,739,247.5

5,762,143.38

5,750,000

5,742,407.73

19,735.65

530.15



8.556

8.592

MJSD

4.46

44,562.5

4/2/2013

5/9/2016

89153VAF6

TOTAL CAPITAL INTERNATIONAL SA SENIOR
 
F

 
 
199,452

200,434.32

200,000

199,521.54

912.78

45.06



3

3.027

JD

1.83


6/15/2010

6/15/2015

89153VAD1

TOTAL CAPITAL INTERNATIONAL SA SENIOR
 
F

 
 
2,173,434

2,174,301.39

2,175,000

2,174,022.91

278.48

117.18



2.4

2.383

MN

0.77


11/8/2011

11/10/2016

89152UAG7

TOTAL CAPITAL S.A. SENIOR CORP BND
 
F

 
 
5,998,320

6,036,056.22

6,000,000

5,998,441.07

37,615.15

78.44



2.125

2.131

FA

1.99


8/5/2013

8/10/2018

89236RAD1

TOYOTA AUTO RECEIVABLES OWNER ABS_13-A
 
 
 
 
764,782.82

760,532.4

765,000

764,828.52

(4,296.12
)
16.23



0.75

0.772

JJ

0.93

1,319.64

9/18/2012

1/25/2016

89236RAC3

TOYOTA AUTO RECEIVABLES OWNER ABS_13-A
 
 
 
 
3,884,970.09

3,881,115.08

3,885,000

3,884,969.47

(3,854.39
)
(0.19
)


1.55

1.589

JD

1.84

5,341.89

6/21/2012

6/28/2017

89233P5E2

TOYOTA MOTOR CREDIT CORP CORP BND MTN
 
 
 
 
6,077,710

6,165,305.76

6,000,000

6,065,689.22

99,616.54

(6,121.81
)


1

1.093

FA

1.93


8/5/2013

8/12/2016

89236TAS4

TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
300,182.1

300,105.01

300,000

300,172.54

(67.53
)
(9.56
)


0.75

0.837

MS

0.37

70.42

3/21/2013

3/24/2016

89233P6D3

TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
2,548,850

2,517,460.83

2,500,000

2,539,107.76

(21,646.93
)
(2,614.65
)


8.493

8.609

JAJO

1.54

58,819.44

7/2/2013

7/9/2018

89233P7H3

TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
2,595,000

2,598,632.97

2,595,000

2,595,000

3,632.97




6.375

4.925

JD

0.28

2,882.79

9/12/2013

12/15/2021

89236TAL9

TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
4,997,950

4,998,153.3

5,000,000

4,998,372.63

(219.33
)
170.83



1.875

2.048

JJ

2.45

20,000

1/19/2012

1/23/2015

89236TAY1

TOYOTA MOTOR CREDIT CORP SENIOR CORP BND
 
 
 
 
6,998,320

6,956,044.41

7,000,000

6,998,380.87

(42,336.46
)
60.87



3.811

3.829

MJSD

2.14


12/20/2013

1/9/2017

BRSJ5FFE4

TPF GENERATION HOLDINGS LLC SENIOR
 
 
 
 
495,012.5

499,987.5

497,500

495,334.06

4,653.44

147.92



1.25

1.314

MS

(1.39
)
6,069.44

9/19/2012

9/26/2017

89267XAA6

TRADEWYND RE LTD CORP BND 144A
 
F

 
 
4,500,000

4,767,165

4,500,000

4,500,000

267,165




0.9

0.938

FA

7.03

86,625

2/11/2013

2/19/2016

893526DL4

TRANS-CANADA PIPELINES SENIOR CORP BND
 
A

 
 
2,914,148.25

2,930,407.17

2,925,000

2,920,745.55

9,661.62

921.58



0.623

0.675

FMAN

1.43


2/11/2013

2/19/2016

BRSHE9156

TRANSDIGM INC SENIOR SECURE TERM NOTES
 
 
 
 
5,711,077.37

5,800,124.59

5,789,587.54

5,719,620

80,504.59

2,820.04



0.837

0.912

FMAN

(1.45
)
52,498.66

11/13/2012

11/20/2014

BRSGZA7E7

TRANSFIRST HOLDINGS INC SENIOR SECURED
 
 
 
 
1,876,741.95

1,896,172.86

1,895,698.94

1,880,476.48

15,696.38

957.75



1.125

1.14

MN

(0.01
)
23,011.68

11/13/2013

11/18/2016

893830BB4

TRANSOCEAN INC CORP BND
 
F

 
 
5,458,470.5

5,576,242.38

4,975,000

5,444,937.27

131,305.11

(11,763.47
)


3

0.8

FA

4.55

158,578.13

3/7/2013

8/4/2015






BRSFWQSC8

TRANSTAR HOLDING COMPANY SENIOR SECURED
 
 
 
 
1,085,163.75

1,074,202.5

1,096,125

1,087,345.19

(13,142.69
)
485.13



1.006

1.129

MJSD

0.42

15,445.65

9/18/2012

9/25/2015

BRSJLDWX0

TRAVELPORT SENIOR SECURED TERM NOTES
 
 
 
 
1,466,428.01

1,524,742.71

1,488,759.4

1,468,059.61

56,683.1

1,272.37



1.6

1.606

JJ

(0.95
)
22,419.62

1/7/2013

1/12/2018

BRSL5JDW3

TRIBUNE COMPANY SENIOR SECURED TERM
 
 
 
 
10,259,287.5

10,227,146.88

10,285,000

10,259,287.5

(32,140.62
)



1.375

0.575

JJ

0.08


4/26/2013

7/17/2015

BRSEQLBQ6

TRICORBRAUN INC SENIOR SECURED TERM LOAN
 
 
 
 
2,422,493.34

2,434,666.67

2,434,666.67

2,425,816.93

8,849.74

896.88




0.58

JAJO


26,277.9

8/17/2011

00/00/0000

872882AC9

TSMC GLOBAL LTD SENIOR CORP BND 144A
 
F

 
 
5,711,170.95

5,477,313.33

5,715,000

5,711,723.91

(234,410.58
)
187.99



2

1.252

AO

5.33

46,434.38

11/27/2013

10/23/2015

BRSG6Z2D1

TURBF_12-3 SENIOR ABS 12-3
 
D

 
 
557,733.37

582,042.9

350,974.37

557,733.37

24,309.53

(0.01
)

23,567.93



FMAN

1.05

1,820

00/00/0000

00/00/0000

BRSL4ZHF1

TURBF_13-4 SENIOR ABS 13-4 A
 
D

 
 
1,589,736.04

1,636,619.81

988,000

1,589,719.15

46,900.66

(16.89
)

47,357.47


0.044

FMAN

2.09

1,424.29

11/15/2013

8/9/2019

G9141GAA6

TURBO FINANCE PLC TURBF_12-2 ABS 12-2
 
D

 
 
209,326.86

220,382.82

132,681.05

208,485.22

11,897.6

(584.77
)

11,864.71



JAJO

1.78

1,400.31

00/00/0000

00/00/0000

BRSBH1FB5

TWCC HOLDING CORP TERM LOAN
 
 
 
 
4,716,837.51

4,800,088.08

4,788,165.55

4,745,421.27

54,666.81

3,421.9





MJSD

(0.08
)
44,256.94

00/00/0000

00/00/0000

BRSHQJZB1

TWIN RIVER MANAGEMENT GROUP IN SENIOR
 
 
 
 
592,456.31

603,826.7

598,440.73

593,142.04

10,684.66

287.23



1.375

1.331

DEC

(3.72
)
8,359.39

11/25/2013

12/10/2015

BRSHUA3L8

UAL_12-2A SENIOR SECURED TERM LOAN
 
 
 
 
4,696,400

4,719,882

4,696,400

4,696,400

23,482






JAJO

(2.08
)
47,489.76

00/00/0000

00/00/0000

902674MY3

UBS AG LONDON BRANCH CORP BND 144A
 
F

 
 
4,975,000

5,072,650.15

5,000,000

4,990,987.1

81,663.05

2,095.65




0.042

MJSD

0.5


10/30/2013

2/5/2020

90349CAB0

UBS AG LONDON BRANCH SENIOR CORP BND
 
F

 
 
1,994,860

1,997,940.06

2,000,000

1,996,166.23

1,773.83

433.51




0.027

FMAN

0.8


9/25/2013

6/8/2020

904764AL1

UNILEVER CAPITAL CORP SENIOR CORP BND
 
 
 
 
1,368,850

1,351,062.34

1,300,000

1,354,756.7

(3,694.36
)
(5,257
)




MJSD

1.73

(3,513.89
)
00/00/0000

00/00/0000

904764AQ0

UNILEVER CAPITAL CORP SENIOR CORP BND
 
 
 
 
6,796,143.75

6,862,294.05

6,875,000

6,800,503.65

61,790.4

3,428.29




0.052

MJSD

8.95


3/26/2013

4/30/2018

904764AP2

UNILEVER CAPITAL CORP SENIOR CORP BND
 
 
 
 
8,770,894

8,687,229.67

8,900,000

8,797,568.94

(110,339.27
)
6,970.9




0.076

JAJO

7.69


3/12/2013

10/4/2019

G9T44MEB4

UNITED KINGDOM GILT GOVT BND
 
D

 
 
3,233,253.34

3,320,297.63

2,040,000

3,234,157.03

86,140.6

1,012.19


117,239.53


0.071

MJSD

2.97

(5,853.52
)
5/22/2013

5/29/2020

G92451GE0

UNITED KINGDOM GILT GOVT BND
 
D

 
 
16,893,688.78

17,177,565

10,200,000

16,882,676.82

294,888.18

(11,100.58
)

372,714.16


0.1

MJSD

2.38

(91,261.14
)
5/20/2013

6/3/2018

G92450QY7

UNITED KINGDOM GILT GOVT BND
 
D

 
 
18,431,014.53

18,834,831.94

10,630,000

18,292,419.35

542,412.59

(167,564.35
)

567,494.81


0.143

MJSD

1.15

15,838.32

3/22/2013

3/26/2020

G9T44MFU1

UNITED KINGDOM GILT GOVT BND
 
D

 
 
30,132,576.33

30,525,098.25

18,930,000

30,148,766.64

376,331.61

19,291.72


800,058.21


0.136

MJSD

3.71

(38,789.24
)
11/15/2013

6/28/2019

G92450YY8

UNITED KINGDOM GILT GOVT BND
 
D

 
 
64,758,440.94

65,726,144.69

36,700,000

64,344,286.98

1,381,857.71

(387,641.52
)

1,646,728.87

1.5

1.558

APR

1.85

(194,219.48
)
4/10/2013

4/18/2018

911312AL0

UNITED PARCEL SERVICE INC CORP BND
 
 
 
 
12,414,426

11,898,056.83

11,800,000

11,840,232.17

57,824.66

(41,126.25
)


2.836

3.102

MON

2.17

228,625.01

11/30/2007

11/25/2033

912828US7

UNITED STATES TREASURY GOVT BND
 
 
 
 
400,500

399,392

400,000

400,375.59

(983.59
)
61.06



0.768

0.509

MON

0.44

2,940.96

3/7/2013

6/17/2019

912828MH0

UNITED STATES TREASURY GOVT BND
 
 
 
 
1,027,776.79

1,022,340

1,000,000

1,022,294.35

45.65

(5,146.78
)


2.709

3.015

MON

0.19


8/10/2007

6/25/2035

912828DC1

UNITED STATES TREASURY GOVT BND
 
 
 
 
1,047,073.66

1,035,350

1,000,000

1,035,311.4

38.6

(48,575.67
)


3.082

3.443

MON

0.19

169,955.01

8/13/2007

11/25/2034

912828TN0

UNITED STATES TREASURY GOVT BND
 
 
 
 
1,415,920.9

1,389,306.71

1,469,000

1,417,061.04

(27,754.33
)
1,140.14



0.79

0.792

MON

2.02

(3,084.09
)
10/23/2013

1/15/2018

912828SD3

UNITED STATES TREASURY GOVT BND
 
 
 
 
2,952,187.5

2,925,780.03

3,000,000

2,952,533.2

(26,753.17
)
345.7



2.691

3.315

MON

1.76

(14,266.3
)
7/19/2006

4/25/2035

912828SJ0

UNITED STATES TREASURY GOVT BND
 
 
 
 
3,003,642.86

2,999,430.09

3,000,000

3,003,374.47

(3,944.38
)
(265.5
)


0.467

0.467

MON

0.88


10/16/2012

1/15/2021

912828VW7

UNITED STATES TREASURY GOVT BND
 
 
 
 
3,022,265.4

3,017,940

3,000,000

3,020,423.45

(2,483.45
)
(1,841.95
)


0.59

0.591

MON

0.65

(1,377.76
)
9/6/2012

8/15/2017

912828TF7

UNITED STATES TREASURY GOVT BND
 
 
 
 
3,797,786.16

3,800,608

3,800,000

3,798,862.94

1,745.06

552.61



1.55

1.566

MON

0.1

977.24

8/12/2010

8/17/2015

912828RQ5

UNITED STATES TREASURY GOVT BND
 
 
 
 
5,009,977.69

5,009,400

5,000,000

5,006,445.47

2,954.53

(2,621.87
)


5.5

7.696

MON

0.16

50,147.22

12/17/2007

11/25/2035

912828SU5

UNITED STATES TREASURY GOVT BND
 
 
 
 
5,143,177.41

5,153,244.5

5,150,000

5,145,130.73

8,113.77

893.97



1.669

2.598

MON

0.2

6,437.5

3/29/2010

12/27/2032

912828SK7

UNITED STATES TREASURY GOVT BND
 
 
 
 
6,010,176.35

6,012,180

6,000,000

6,005,201.44

6,978.56

(1,098
)


0.506

0.981

MJSD

0.21


3/31/2011

12/27/2016

912828TB6

UNITED STATES TREASURY GOVT BND
 
 
 
 
6,493,334.28

6,432,464.94

6,500,000

6,489,715.76

(57,250.82
)
211.44



1.44

1.446

MON

4.21

14,174.6

2/15/2012

2/15/2017






912828TW0

UNITED STATES TREASURY GOVT BND
 
 
 
 
6,496,359.38

6,479,880

6,600,000

6,501,562.41

(21,682.41
)
5,203.03



0.65

0.659

MON

1.24

1,748.64

4/3/2013

12/8/2017

912828TG5

UNITED STATES TREASURY GOVT BND
 
 
 
 
7,100,922.56

7,048,584.22

7,200,000

7,116,394.91

(67,810.69
)
5,736.95



2.23

2.242

MON

2.2


2/4/2011

3/15/2016

912828WF3

UNITED STATES TREASURY GOVT BND
 
 
 
 
7,716,976.57

7,676,361.08

7,700,000

7,716,436.9

(40,075.82
)
(539.67
)


0.587

0.588

MON

1.47

(1,691.98
)
12/10/2013

11/15/2020

912828UW8

UNITED STATES TREASURY GOVT BND
 
 
 
 
7,948,856.39

7,927,838.78

7,970,000

7,953,709.78

(25,871
)
1,792.74



0.387

0.249

MON

0.48

9,962.5

11/30/2012

3/15/2017

912828NZ9

UNITED STATES TREASURY GOVT BND
 
 
 
 
8,063,827.25

8,024,661.61

7,900,000

7,998,699.58

25,962.03

(14,326.92
)


2.73


MON

0.34


00/00/0000

00/00/0000

912828QF0

UNITED STATES TREASURY GOVT BND
 
 
 
 
8,394,687.5

8,276,720

8,000,000

8,285,208.37

(8,488.37
)
(30,785.53
)


2.671

2.931

MON

0.51

80,000

11/21/2007

9/25/2035

912828NF3

UNITED STATES TREASURY GOVT BND
 
 
 
 
8,627,547.17

8,470,192.5

8,250,000

8,460,308.61

9,883.89

(40,820.62
)


5.5

5.908

MON

0.47

98,865.04

1/2/2008

00/00/0000

912828TM2

UNITED STATES TREASURY GOVT BND
 
 
 
 
8,567,712.75

8,536,961.91

8,700,000

8,569,391.21

(32,429.3
)
559.19



0.93

0.45

MON

5.74

(13,996.89
)
2/22/2013

2/16/2016

912828SP6

UNITED STATES TREASURY GOVT BND
 
 
 
 
8,613,106.93

8,619,522

8,600,000

8,606,676.98

12,845.02

(1,670
)


1.667

2.445

MON

0.4

25,534.01

3/29/2010

12/26/2035

912828UP3

UNITED STATES TREASURY GOVT BND
 
 
 
 
8,994,600.46

9,005,940.9

9,000,000

8,995,565.18

10,375.72

561.9



0.57

0.574

MON

0.19

469.61

9/19/2012

12/15/2017

912828RZ5

UNITED STATES TREASURY GOVT BND
 
 
 
 
10,391,886.41

10,408,944

10,400,000

10,396,973.16

11,970.84

685.99



6

5.782

MON

0.5

951.09

1/17/2008

00/00/0000

912828WD8

UNITED STATES TREASURY GOVT BND
 
 
 
 
10,808,941.3

10,656,839.41

10,870,000

10,810,452.84

(153,613.43
)
1,539.25



1.01

1.018

MON

3.35

(6,688.47
)
10/25/2013

10/15/2018

912828TP5

UNITED STATES TREASURY GOVT BND
 
 
 
 
11,089,128.42

11,090,454.11

11,100,000

11,091,019.67

(565.56
)
694.87



0.98

0.986

MON

0.6

(4,541.44
)
11/5/2013

5/15/2019

912828PE4

UNITED STATES TREASURY GOVT BND
 
 
 
 
11,229,673.57

11,182,710.33

11,000,000

11,181,483.08

1,227.25

(12,440.11
)


2.663

1.787

MON

0.34

10,013.81

1/18/2008

00/00/0000

912828WB2

UNITED STATES TREASURY GOVT BND
 
 
 
 
13,031,619.09

13,027,605.14

13,046,000

13,032,645.63

(5,040.49
)
1,046.85



0.47

0.471

MON

0.65

(875.84
)
5/16/2013

5/15/2017

912828SM3

UNITED STATES TREASURY GOVT BND
 
 
 
 
13,278,394

13,279,944.74

13,250,000

13,274,189.28

5,755.46

(1,837.35
)


1.667

2.462

MON

1.86

681.32

3/29/2010

12/26/2035

912828RX0

UNITED STATES TREASURY GOVT BND
 
 
 
 
13,605,963.19

13,530,374.73

13,500,000

13,579,327.83

(48,953.1
)
(5,069.37
)


2.611

3.119

MON

1.6

46,413.04

5/27/2008

2/25/2035

912828UR9

UNITED STATES TREASURY GOVT BND
 
 
 
 
13,998,730.47

13,728,746.58

14,100,000

14,014,911.52

(286,164.94
)
5,097.88



0.69

0.696

MON

2.81


5/21/2013

8/15/2018

912828UM0

UNITED STATES TREASURY GOVT BND
 
 
 
 
15,012,890.63

14,987,699.85

15,000,000

15,012,341.87

(24,642.02
)
(548.76
)


0.77

0.772

MON

0.83

(15,896.74
)
11/14/2013

10/15/2018

912828UA6

UNITED STATES TREASURY GOVT BND
 
 
 
 
15,902,716.88

15,533,024.88

15,930,000

15,907,955.05

(374,930.17
)
1,431.56



0.9

0.907

MON

5.12

54,443.14

11/5/2013

9/8/2018

912828TD2

UNITED STATES TREASURY GOVT BND
 
 
 
 
15,969,116.1

16,000,000

16,000,000

15,982,119.29

17,880.71

2,897.16



0.85

0.852

MON

0.75


5/22/2012

8/15/2016

912828UJ7

UNITED STATES TREASURY GOVT BND
 
 
 
 
16,722,421.88

16,673,940.17

17,000,000

16,724,577.79

(50,637.62
)
2,155.91



0.69

0.691

MON

1.36

(57,398.1
)
2/13/2013

6/15/2018

912828SC5

UNITED STATES TREASURY GOVT BND
 
 
 
 
18,677,931.05

18,619,902.37

18,600,000

18,656,708.34

(36,805.97
)
(4,526.34
)


2.615

2.761

MON

3.36

(2,263.59
)
1/14/2008

12/25/2034

912828TS9

UNITED STATES TREASURY GOVT BND
 
 
 
 
19,148,635.61

18,894,121.59

19,300,000

19,168,599.09

(274,477.5
)
8,629.28



0.59

0.594

MON

4.8

(300.48
)
11/1/2012

5/15/2018

912828UG3

UNITED STATES TREASURY GOVT BND
 
 
 
 
20,748,617.21

20,741,699.8

20,750,000

20,749,197.15

(7,497.35
)
579.94



0.356

0.716

MJSD

1.58

(20,579.15
)
5/26/2011

9/25/2023

912828VE7

UNITED STATES TREASURY GOVT BND
 
 
 
 
23,489,780.9

23,279,314.79

23,798,600

23,513,047.76

(233,732.97
)
11,829.38



0.96

0.966

MON

9.08

89,305.18

11/14/2013

9/15/2019

912828VC1

UNITED STATES TREASURY GOVT BND
 
 
 
 
23,820,381.72

23,852,400.48

24,000,000

23,848,438.12

3,962.36

16,432.07



0.257

0.447

MON

1.53

30,714.78

6/17/2011

6/17/2019

912828QM5

UNITED STATES TREASURY GOVT BND
 
 
 
 
24,238,205.4

24,078,480

24,000,000

24,070,676.75

7,803.25

(49,716.04
)


2.716

2.688

MON

0.12

162,054.35

2/6/2008

2/25/2036

912828VK3

UNITED STATES TREASURY GOVT BND
 
 
 
 
26,132,164.06

26,000,355.74

26,200,000

26,138,296.96

(137,941.22
)
3,394.48



0.42

0.422

MON

1.55

180,125

5/8/2013

6/15/2016

912828RH5

UNITED STATES TREASURY GOVT BND
 
 
 
 
26,857,226.57

26,420,171.97

26,750,000

26,854,687.73

(434,515.76
)
(2,395.68
)


2.936

3.581

MON

4.94

(41,884.62
)
8/16/2007

9/25/2035

912828RE2

UNITED STATES TREASURY GOVT BND
 
 
 
 
27,852,460.94

27,857,479.16

28,000,000

27,857,772.66

(293.5
)
4,530.34



0.542

0.542

MON

3.23

8,801.11

6/10/2011

4/6/2020

912828UE8

UNITED STATES TREASURY GOVT BND
 
 
 
 
29,963,815.92

29,334,899.11

30,000,000

29,969,914.08

(635,014.97
)
1,848.4



0.67

0.671

MON

3.96

112,500

10/29/2013

11/25/2017

912828UK4

UNITED STATES TREASURY GOVT BND
 
 
 
 
29,992,968.6

30,024,600

30,000,000

29,996,188.1

28,411.9

879.54



1.02

1.025

MON

0.17


8/20/2013

8/15/2018

912828RU6

UNITED STATES TREASURY GOVT BND
 
 
 
 
34,072,070.46

34,061,017.52

33,950,000

34,060,396.28

621.24

(8,973.81
)


2.61

3.054

MON

2.28

157,376.88

12/5/2006

2/25/2035






912828UZ1

UNITED STATES TREASURY GOVT BND
 
 
 
 
38,658,411.39

37,804,872.78

39,200,000

38,720,861.33

(915,988.55
)
26,601.2



0.257

0.447

MON

4.43

118,501.38

6/17/2011

8/15/2018

912828VQ0

UNITED STATES TREASURY GOVT BND
 
 
 
 
43,068,694.76

43,028,351.6

43,420,000

43,092,602.47

(64,250.87
)
17,531.5



0.437

0.437

MON

6.32

(16,813.86
)
5/29/2012

5/15/2019

912828SE1

UNITED STATES TREASURY GOVT BND
 
 
 
 
50,587,928.01

50,839,624

50,800,000

50,720,192.85

119,431.15

17,766.69



2.645

2.971

MON

0.54

123.64

12/15/2005

6/25/2035

912828RF9

UNITED STATES TREASURY GOVT BND
 
 
 
 
62,690,761.02

62,631,406.02

62,050,000

62,498,674.53

132,731.49

(42,464.45
)


6.5

6.263

MON

5.16


10/3/2007

00/00/0000

912828UC2

UNITED STATES TREASURY GOVT BND
 
 
 
 
64,251,157.37

64,356,165

64,500,000

64,329,210.09

26,954.91

24,134.75



0.207

0.332

MON

0.73

92,892.76

6/17/2011

12/15/2016

912828QX1

UNITED STATES TREASURY GOVT BND
 
 
 
 
70,065,338.5

69,956,101.36

68,400,000

69,277,712.61

678,388.75

(83,845.57
)


0.571

0.529

MON

2.45

807.07

6/15/2012

3/11/2020

912828RM4

UNITED STATES TREASURY GOVT BND
 
 
 
 
90,449,979.77

90,131,609.9

89,450,000

90,219,931.5

(88,321.6
)
(60,935.87
)


2.357

2.557

MON

4.37

416,929.52

1/10/2008

10/25/2035

912828QS2

UNITED STATES TREASURY GOVT BND
 
 
 
 
119,865,008.02

119,336,770

119,000,000

119,289,784.44

46,985.56

(160,718.14
)


0.905

0.894

MON

0.13

446,250

1/25/2013

1/25/2034

912828SS0

UNITED STATES TREASURY GOVT BOND
 
 
 
 
11,585,839.31

11,466,075.23

11,500,000

11,569,433.96

(103,358.73
)
(5,380.07
)


0.918

0.92

MON

0.97

69,453.13

5/10/2012

00/00/0000

912828UX6

UNITED STATES TREASURY GOVT IBND TIPS
 
 
 
 
5,406,918.56

5,151,842.69

5,000,000

5,403,153.09

(251,310.4
)
(22,555.12
)


0.91

0.917

MON

(0.33
)
3,159.66

10/16/2013

4/16/2018

913017BX6

UNITED TECH CORP SENIOR CORP BND
 
 
 
 
8,033,289.74

8,026,008.81

7,976,000

8,006,744.16

19,264.65

(5,470.69
)


0.85

0.857

MON

0.9

15,144.43

11/6/2013

5/15/2018

913017BU2

UNITED TECH CORP SENIOR CORP BND
 
 
 
 
9,706,645.1

9,848,170.61

9,715,000

9,709,213.03

138,957.58

409.42



1.34

1.343

MON

6.94

87,435

10/16/2013

12/17/2018

914455KX7

UNIVERSITY MICH UNIV REVS MUNITAX BND
 
 
 
 
3,500,000

3,544,485

3,500,000

3,500,000

44,485




1.27

1.28

MON

0.73

30,695

11/6/2013

3/15/2019

914713G63

UNIVERSITY N C CHAPEL HILL MUNITAX BND
 
 
 
 
1,000,000

1,009,330

1,000,000

1,000,000

9,330




0.284

0.496

JAJO

0.9

6,125

7/6/2011

12/17/2018

BRSHHYQ77

UNIVISION COMMUN INC. SENIOR SECURED
 
 
 
 
1,948,238.38

1,995,639.6

1,985,000

1,951,474.91

44,164.69

1,379.41



1.11

1.117

JJ

(0.09
)
22,876.87

8/1/2013

7/23/2018

BRSJE18C7

UNIVISION COMMUN INC. SENIOR SECURED
 
 
 
 
6,241,528.13

6,276,197.81

6,252,750

6,242,361.38

33,836.43

421.32



5.65

1.403

MS

(0.06
)
64,055.25

12/3/2013

9/20/2019

BRSBNJXW3

UNIVR INC TERM LOAN
 
 
 
 
1,988,416.66

1,985,070.92

2,003,442.49

1,991,283.6

(6,212.68
)
1,500.97



0.6

0.593

MON

0.26

38,120.32

12/10/2013

9/10/2020

BRSGC58P7

UPC FINANCING PARTNERSHIP SENIOR SECURED
 
 
 
 
1,496,250

1,504,995

1,500,000

1,496,734.48

8,260.52

116.09



2.917

1.81

MON

(0.05
)

2/6/2013

8/15/2018

BRSJ1CU99

UPC FINANCING PARTNERSHIP SENIOR SECURED
 
 
 
 
3,995,147.58

3,992,000

4,000,000

3,995,305.19

(3,305.19
)
157.61



0.473

0.473

FMAN

0.03


12/11/2013

11/7/2018

BRSJ8J5P9

US AIRWAYS INC SENIOR SECURED TERM LOAN
 
 
 
 
4,656,662.5

4,701,881.25

4,675,000

4,655,654.96

46,226.29

(227.11
)


5.65

1.719

MON

(1.44
)
37,508.51

1/26/2012

3/16/2020

91159HGX2

US BANCORP CORP BND
 
 
 
 
999,020

1,029,129.49

1,000,000

999,679.16

29,450.33

49.87



0.81

0.588

MON

0.59


8/28/2013

8/15/2017

91159HHF0

US BANCORP SENIOR CORP BND MTN
 
 
 
 
1,350,000

1,353,861.15

1,350,000

1,350,000

3,861.15




0.69

0.695

MON

0.67


2/6/2013

8/15/2018

91159HHE3

US BANCORP SENIOR CORP BND MTN
 
 
 
 
4,993,800

4,956,729.16

5,000,000

4,993,974.45

(37,245.29
)
174.45



0.537

0.537

MON

6.41


6/5/2012

11/15/2019

BRSK7APE9

US RENAL CARE INC SECURED TERM NOTES
 
 
 
 
1,715,917.11

1,744,328.25

1,735,650

1,716,911.33

27,416.92

895.9



1.088

1.09

JAJO

(0.8
)
33,899.91

2/23/2010

7/25/2023

BRSK280V8

US SILICA CO SENIOR SECURED TERM LOAN
 
 
 
 
2,059,511.92

2,069,198.27

2,066,615

2,059,906.07

9,292.2

282.64



0.679

0.679

JJ

(0.02
)
21,178.47

6/12/2013

1/15/2019

BRSK0X8H8

USIC HOLDINGS INC SENIOR SECURED TERM
 
 
 
 
782,119.75

789,492.9

786,050

782,316.74

7,176.16

153.59



1.58

0.656

MON

(5.74
)
12,996.94

2/27/2013

9/15/2015

92867DAD2

VALET_11-1 ABS_11-1 A4
 
 
 
 
2,062,187.5

2,022,819.98

2,000,000

2,013,562.54

9,257.44

(5,983.49
)


0.57

0.573

MON

1.37

9,900

5/14/2013

10/15/2017

92867MAC4

VALET_13-1 ABS 13-1
 
 
 
 
5,689,676.24

5,679,075.15

5,690,000

5,689,763.01

(10,687.86
)
27.24



0.67

0.673

MON

1.33

7,966.02

11/19/2013

4/15/2018

92867MAB6

VALET_13-1 ABS_13-1 A2
 
 
 
 
5,696,846.06

5,694,768.91

5,697,218.66

5,697,054.35

(2,285.44
)
92.8



0.368

3.556

FMAN

1.23

6,122.03

2/22/2012

5/25/2025

92867PAC7

VALET_13-2 ABS_13-2 A3
 
 
 
 
4,044,066.83

4,034,887.5

4,045,000

4,044,091.41

(9,203.91
)
24.58



1.45

1.46

MON

2.56

2,910.15

2/1/2011

1/21/2018

92867PAD5

VALET_13-2 ABS_13-2 A4
 
 
 
 
5,279,070.19

5,242,142.24

5,280,000

5,279,080.65

(36,938.41
)
10.46



0.95

0.953

MON

4.18

6,294.92

9/17/2013

3/22/2017

922764AA3

VENTERRA RE LTD CORP BND 144A
 
F

 
 
7,500,000

7,514,925

7,500,000

7,500,000

14,925




1.793

1.799

MON

3.76


5/17/2013

5/15/2046

92343VBD5

VERIZON COMMUNICATIONS INC CORP BND
 
 
 
 
733,862.96

725,458.88

710,000

729,146.57

(3,687.69
)
(1,683.02
)


0.65

0.651

MON

1.22

7,100

4/16/2013

7/16/2018

92343VAG9

VERIZON COMMUNICATIONS INC CORP BND
 
 
 
 
1,195,722.42

1,183,770.49

1,062,000

1,190,621.68

(6,851.19
)
(5,100.74
)


1.663

3.134

MON

1.85

(6,976.75
)
9/10/2009

1/1/2044






92343VAC8

VERIZON COMMUNICATIONS INC CORP BND
 
 
 
 
2,261,852

2,181,925.82

2,000,000

2,191,801.91

(9,876.09
)
(22,336.57
)


1.668

4.315

MON

1.2


9/10/2009

1/1/2044

92343VAY0

VERIZON COMMUNICATIONS INC CORP BND
 
 
 
 
2,277,581

2,249,554.78

2,150,000

2,248,049.97

1,504.81

(10,912.48
)


1.644

3.708

MON

0.92

32,250

9/10/2009

1/1/2044

92344GAW6

VERIZON COMMUNICATIONS INC CORP BND
 
 
 
 
6,784,125

6,678,083.44

6,250,000

6,423,461.48

254,621.96

(25,186.23
)


1.657

3.006

MON

1.69


9/10/2009

1/1/2044

92343VBF0

VERIZON COMMUNICATIONS INC SENIOR CORP
 
 
 
 
2,245,230

2,188,821.79

2,250,000

2,246,307.99

(57,486.2
)
238.06



1.668

3.856

MON

5.51

12,375

9/10/2009

1/1/2044

92343VBL7

VERIZON COMMUNICATIONS INC SENIOR CORP
 
 
 
 
2,125,000

2,189,238.82

2,125,000

2,125,000

64,238.82




1.728

3.687

MON

1.32

9,255.72

9/10/2009

1/1/2044

92343VBP8

VERIZON COMMUNICATIONS INC SENIOR CORP
 
 
 
 
4,114,835.4

4,361,619.64

4,115,000

4,114,836.36

246,783.28

(12,010.31
)


0.77

0.778

MON

4.6

91,836.44

7/17/2013

5/15/2017

92343VBN3

VERIZON COMMUNICATIONS INC SENIOR CORP
 
 
 
 
5,230,294.55

5,394,581.49

5,210,000

5,229,389.76

165,191.73

(747.14
)


1.676

2.482

FMAN

3.5

22,558.33

9/10/2009

1/1/2044

92343VBQ6

VERIZON COMMUNICATIONS INC SENIOR CORP
 
 
 
 
11,029,772.94

10,974,100.78

10,293,000

11,025,496.47

(51,395.69
)
(4,276.47
)


0.91

0.918

MON

6.78

(113,223
)
4/18/2012

5/15/2018

BRSHX96A9

VERTAFORE INC SENIOR SECURED TERM NOTES
 
 
 
 
2,859,639.42

2,881,050.18

2,865,519.07

2,860,314.68

20,735.5

227.59



1.8

1.816

MON

(2.08
)
31,916.83

2/17/2011

4/17/2017

BRSHKZ9A2

VEYANCE TECHNOLOGIES INC SENIOR SECURED
 
 
 
 
4,888,062.5

4,974,906.25

4,962,500

4,901,193.75

73,712.5

4,305.9



0.53

0.534

MON

(1.3
)
68,951.82

4/17/2013

2/16/2017

BRSHC8K00

VIRGIN MEDIA INV SENIOR SECURED TERM
 
F

 
 
9,362,385.39

9,394,070

9,380,000

9,363,572.97

30,497.03

641.64



0.92

0.927

MON

(0.02
)
83,731.67

6/13/2012

8/17/2015

927804FM1

VIRGINIA ELECTRIC AND POWER CO SENIOR
 
 
 
 
6,003,420

5,840,256.06

6,000,000

6,003,025.56

(162,769.5
)
(195.77
)


0.95

0.955

MON

1.89


2/28/2012

12/15/2016

92857WAY6

VODAFONE GROUP PLC SENIOR CORP BND
 
F

 
 
3,855,050.97

3,778,417.35

3,867,000

3,858,008.44

(79,591.09
)
597.38



0.4

0.405

MON

1.89


1/24/2013

12/15/2015

92857WBA7

VODAFONE GROUP PLC SENIOR CORP BND
 
F

 
 
4,035,475.2

4,021,673.72

4,040,000

4,036,769.96

(15,096.24
)
374.42



0.53

0.53

MON

3.35


6/19/2013

3/15/2016

92857WBB5

VODAFONE GROUP PLC SENIOR CORP BND
 
F

 
 
9,120,000

9,115,713.87

9,120,000

9,120,000

(4,286.13
)



0.71

0.712

MON

1.29

15,107.39

11/5/2013

9/15/2017

BRSESZBW0

VOLKSWAGEN FIN SERV N.V. CORP BND EMTN
 
D

 
 
1,553,957.45

1,592,629.53

950,000

1,548,621.04

44,008.49

(1,768.37
)

45,768.95

1.01

1.019

MON

2.63

4,599.23

9/11/2013

2/15/2018

928670AP3

VOLKSWAGEN INTERNATIONAL FINAN SENIOR
 
F

 
 
2,077,535.7

2,062,611.92

2,085,000

2,079,148.76

(16,536.84
)
366.52



0.87

0.877

MON

1.89

16,680

8/27/2013

8/15/2017

928670AR9

VOLKSWAGEN INTERNATIONAL FINAN SENIOR
 
F

 
 
5,000,000

5,019,950.1

5,000,000

5,000,000

19,950.1




1.679

1.685

MON

0.39

11,041.28

6/4/2013

6/20/2046

928670AW8

VOLKSWAGEN INTERNATIONAL FINAN SENIOR
 
F

 
 
17,342,366

17,305,562.14

17,350,000

17,342,656.99

(37,094.85
)
290.99



0.52

0.52

MON

6.08


7/24/2013

4/15/2016

U9291NAP0

VW CREDIT INC SENIOR CORP BND EMTN
 
 
 
 
4,590,450

4,582,124.87

4,500,000

4,571,993.11

10,131.76

(6,417.27
)


0.84

0.85

MON

1.2

84,375

7/24/2013

11/15/2017

92867KAC8

VWALT_12-A ABS_12-A A3
 
 
 
 
2,777,640.65

2,784,356.37

2,778,188.79

2,778,029.28

6,327.09

60.61



0.67

0.679

MON

0.59

6,307.5

12/4/2013

8/15/2018

BRSHA8HD8

VWR FUNDING INC SENIOR SECURED TERM
 
 
 
 
757,350

759,561.46

757,350

757,350

2,211.46




1.3

1.308

MON

(3.36
)
8,091.85

12/4/2013

6/15/2020

BRSEYKM87

VWR FUNDING INC TERM NOTES
 
 
 
 
2,916,555.29

2,955,236.48

2,946,015.45

2,925,694.74

29,541.74

1,625.11



5.415


MON

(0.09
)
33,366.49

00/00/0000

00/00/0000

931142CR2

WAL-MART STORES INC CORP BND
 
 
 
 
993,090

1,030,370

1,000,000

998,179.36

32,190.64

362.32



1.649

2.741

MON

0.44

14,375

3/9/2010

4/25/2044

931142CX9

WAL-MART STORES INC CORP BND
 
 
 
 
1,665,938.25

1,697,746.27

1,675,000

1,671,630.31

26,115.96

461.87



1.09

1.098

MON

0.75

12,562.5

4/3/2013

2/15/2018

931142DC4

WAL-MART STORES INC CORP BND
 
 
 
 
1,769,392.5

1,717,194.27

1,650,000

1,730,012.6

(12,818.33
)
(8,695.04
)


1.658

1.661

MON

1

21,700

11/7/2011

12/15/2016

931142BY8

WAL-MART STORES INC CORP BND
 
 
 
 
4,448,840

4,227,907.72

4,000,000

4,242,349.24

(14,441.52
)
(40,213.15
)


1.669

2.996

MON

0.68


3/9/2010

4/25/2044

931142DE0

WAL-MART STORES INC SENIOR CORP BND
 
 
 
 
4,351,907.95

4,348,541.84

4,355,000

4,352,650.39

(4,108.55
)
259.05



1.657

1.663

MON

1.33

13,065

2/4/2010

00/00/0000

931142DF7

WAL-MART STORES INC SENIOR CORP BND
 
 
 
 
6,993,560

6,818,216.93

7,000,000

6,994,471.98

(176,255.05
)
318.68



1.663

1.72

MON

1.76

39,375

11/7/2011

12/15/2016

25468PCV6

WALT DISNEY COMPANY (THE) SENIOR CORP
 
 
 
 
9,014,656.75

8,924,554.11

9,075,000

9,027,144.79

(102,590.68
)
3,625.9



1.656

1.661

MON

6.15

64,044.44

11/7/2011

12/15/2016

92922F3N6

WAMU_05-A12 CMO_05-AR12 1A8
 
 
 
 
2,612,100.73

2,496,372.35

2,638,902.09

2,613,900.24

(117,527.89
)
1,052.87



0.5

0.5

MON

5.77

15,952.69

11/7/2011

12/15/2016

BRSJARVG9

WCA WASTE SENIOR SECURED TERM LOAN
 
 
 
 
1,034,138.37

1,029,616.5

1,030,255.26

1,028,106.82

1,509.68

(1,883.51
)


1.538

0.996

JAJO

0.01

10,800.35

11/29/2011

1/25/2018

BRSHTMBM3

WEIGHT WATCHERS INTL INC SENIOR SECURED
 
 
 
 
4,668,099.68

4,214,322.48

4,739,187.5

4,675,118.56

(460,796.08
)
2,731.46



1.938

1.396

JAJO

1.86

45,531.61

1/11/2011

7/25/2023

94974BFA3

WELLS FARGO & COMPANY CORP BND
 
 
 
 
4,517,475

4,531,198.5

4,500,000

4,508,490.06

22,708.44

(1,887.16
)


0.765

0.799

MON

1.25


5/18/2011

11/25/2027






94974BEU0

WELLS FARGO & COMPANY CORP BND
 
 
 
 
5,656,604

5,760,383.85

5,550,000

5,588,976.1

171,407.75

(7,550.67
)


0.565

0.518

MON

3.33

100,593.75

2/15/2013

3/25/2025

94974BFF2

WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
2,231,519.4

2,224,507.96

2,200,000

2,219,832.43

4,675.53

(3,356.26
)


0.815

0.816

MON

0.42

6,578.86

4/24/2012

12/26/2025

94974BFQ8

WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
2,743,977.5

2,734,673.51

2,750,000

2,744,138.8

(9,465.29
)
256.05



2.09

1.671

MON

2.27

5,972.22

3/19/2013

6/15/2045

94974BEZ9

WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
2,992,320

3,131,277.69

3,000,000

2,995,351.03

135,926.66

378.71



1.267

1.267

MON

1.12

39,375

4/4/2012

1/18/2022

94974BFM7

WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
4,750,000

4,766,862.64

4,750,000

4,750,000

16,862.64




0.917

0.908

MON

1.27

8,797.95

11/21/2013

10/16/2023

94974BFK1

WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
5,000,000

5,027,600.1

5,000,000

5,000,000

27,600.1




1.217

1.22

MON

0.74

11,432.28

7/23/2012

6/15/2023

94974BFE5

WELLS FARGO & COMPANY SENIOR CORP BND
 
 
 
 
12,617,045.87

12,706,191.28

12,526,000

12,583,491.18

122,700.1

(9,154.05
)


3.48

3.507

MON

2.68

34,708.33

4/4/2012

10/15/2030

BRSLBEQ11

WESTERN REFINING INC SENIOR SECURED TERM
 
 
 
 
560,000

566,300

560,000

560,000

6,300




1.217

1.22

MON

(1.24
)
925.55

2/27/2013

5/17/2027

959802AQ2

WESTERN UNION CO/THE SENIOR CORP BND
 
 
 
 
2,041,237.2

2,067,881.42

2,045,000

2,042,536.52

25,344.9

310.85



0.817

0.817

MON

1.79

24,284.38

4/25/2013

7/15/2022

9612EMAK5

WESTPAC BANKING CORP - GTD CORP BND 144A
 
F

 
 
309,540

306,678

300,000

306,340.02

337.98

(1,694.19
)


1.85

1.86

MON

0.32

4,050

4/25/2013

6/17/2030

961214BN2

WESTPAC BANKING CORP CORP BND
 
F

 
 
2,367,157.5

2,335,923.05

2,250,000

2,328,163.27

7,759.78

(12,179.35
)


1.267

1.27

MON

0.59


4/25/2013

5/15/2030

96122WAB6

WESTPAC BANKING CORP SECURED LOCAL BND
 
F

 
 
4,498,676.97

4,473,653.85

4,421,000

4,475,264.44

(1,610.59
)
(8,740.36
)


0.425

0.425

MON

2.4


9/11/2013

5/25/2018

961214BX0

WESTPAC BANKING CORP SENIOR CORP BND
 
F

 
 
4,000,000

4,042,439.88

4,000,000

4,000,000

42,439.88




0.669

0.648

MON

0.4

10,441.81

11/6/2013

2/25/2021

961214BY8

WESTPAC BANKING CORP SENIOR CORP BND
 
F

 
 
4,539,773.25

4,557,269.27

4,545,000

4,541,439.75

15,829.52

433.17



0.82

0.821

MON

1.63


11/14/2013

2/15/2018

961214BZ5

WESTPAC BANKING CORP SENIOR CORP BND MTN
 
F

 
 
1,999,420

1,973,930.96

2,000,000

1,999,527.88

(25,596.92
)
28.26



0.7

0.71

MON

1.94


3/6/2013

9/15/2017

949781AC2

WFMBS CMO 05-AR1 2A1
 
 
 
 
437,274.83

445,042.58

448,199.7

438,161.13

6,881.45

751.81



0.55

0.556

MON

2.68

3,051.07

5/8/2013

9/15/2016

949781AA6

WFMBS CMO 05-AR1 1A1
 
 
 
 
1,823,557.82

1,863,327.3

1,868,126.51

1,828,771.8

34,555.5

1,943.9



0.7

0.701

MON

2.66

12,550.03

5/8/2013

10/16/2017

94982BAG5

WFMBS CMO 05-AR8 3A2
 
 
 
 
465,560.11

474,837.62

473,626.56

467,040.22

7,797.4

461.37



0.89

0.899

MON

2.61

3,269.44

7/11/2013

9/15/2016

949797AA2

WFMBS WHOLE CMO 07-15 A1
 
 
 
 
173,380.43

166,950.71

172,290.15

173,264.92

(6,314.21
)
(61.64
)


1.138

1.341

JAJO

6.38

2,688.01

3/22/2011

10/28/2043

94980RAC1

WFMBS_04-Z CMO 04-Z-2A1
 
 
 
 
141,636.39

144,139.33

142,886.64

141,779.63

2,359.7

69.62



0.339

1.004

MJSD

2.52

974.43

3/30/2011

12/3/2018

94981NAH8

WFMBS_05-AR4 CMO 05-AR4 2A2
 
 
 
 
1,354,974.82

1,400,006.53

1,394,130.27

1,360,804.56

39,201.97

1,725.01



0.55

0.551

MON

2.64

9,726.51

4/9/2013

1/17/2017

981464DG2

WFNMT_12-C ABS 12-C
 
 
 
 
3,188,784.29

3,161,404.84

3,190,000

3,189,049.82

(27,644.98
)
46.62



0.69

0.7

MON

9.8

17,784.24

4/9/2013

11/15/2018

981464DX5

WFNMT_13-B ABS 13-B
 
 
 
 
1,624,986.35

1,614,957.57

1,625,000

1,624,981.17

(10,023.6
)
(2.34
)


0.89

0.893

MON

1.11

3,696.87

9/11/2013

7/15/2017

BRSFD0DY4

WINDSTREAM CORP SENIOR SEC TERM NOTES
 
 
 
 
2,610,061.25

2,637,242.8

2,636,425.51

2,615,081.52

22,161.28

958.97



1.98

0.898

MON

(0.48
)
40,109.3

9/15/2011

9/20/2017

BRSH2DJN2

WINDSTREAM CORP SENIOR SECURED TERM LOAN
 
 
 
 
2,702,700

2,703,537.84

2,702,700

2,702,700

837.84




0.87

0.881

MON

(0.48
)
23,981.05

6/13/2012

7/20/2015

BRSF5Z2P7

WIRECO WORLDGROUP INC TERM NOTES
 
 
 
 
3,055,078.12

3,105,224.61

3,085,937.5

3,064,769.28

40,455.33

1,758.38



0.37

0.375

MON

(0.2
)
47,437.5

2/21/2013

1/20/2016

976656CF3

WISCONSIN ELECTRIC POWER COMPA SENIOR
 
 
 
 
2,500,000

2,446,412.65

2,500,000

2,500,000

(53,587.35
)



0.56

0.562

MON

2.21

21,486.11

2/21/2013

8/21/2017

982526AR6

WM WRIGLEY JR CO SENIOR CORP BND 144A
 
 
 
 
1,005,540

1,002,860.57

1,000,000

1,005,218.24

(2,357.67
)
(267.85
)


1.16

1.168

MON

1.3

1,672.22

11/6/2013

3/20/2020

982526AU9

WM WRIGLEY JR CO SENIOR CORP BND 144A
 
 
 
 
3,995,575

3,980,541.09

4,000,000

3,995,739.75

(15,198.66
)
164.75



2.23

2.247

MON

7.52

(16.67
)
7/13/2012

8/15/2022

93934FEN8

WMALT_05-5 CMO 05-9-2A2
 
 
 
 
3,046,040.9

2,776,470.05

3,324,464.86

3,073,190.16

(296,720.11
)
(454.59
)


0.91

0.911

MON

8.48

48,745.55

5/14/2013

3/16/2020

BRSJ883L4

WMG ACQUISITION CORP SENIOR SECURED TERM
 
 
 
 
3,018,054.8

3,015,791.26

3,018,054.8

3,018,054.8

(2,263.54
)



1.91

1.918

MON

0.01

28,995.51

3/2/2011

4/15/2016

98158PAC2

WOART_11-B ABS_11-B A3
 
 
 
 
200,564.6

201,162.65

200,564.97

200,562.35

600.3

(0.04
)


0.96

0.961

MON

0.73

569.14

11/2/2011

8/15/2016

98158KAD1

WORLD OMNI AUTO RECEIVABLES TR ABS 11-A
 
 
 
 
4,599,795.3

4,639,376.14

4,600,000

4,599,846.21

39,529.93

4.54



0.417

0.417

MON

1.17

21,965.01

2/21/2013

2/15/2018

BRSLKWZ29

WTG HOLDINGS III CORP SENIOR SECURED
 
 
 
 
469,650

466,549.85

465,000

469,650

(3,100.15
)





FMAN

(0.74
)

12/17/2013

11/12/2020






984121CF8

XEROX CORPORATION SENIOR CORP BND
 
 
 
 
1,298,375

1,348,911.86

1,300,000

1,298,932.3

49,979.56

80.71




(2.737
)
MJSD

1.74


12/12/2013

12/10/2020

98417EAU4

XSTRATA FINANCE CANADA LTD SENIOR CORP
 
A

 
 
4,128,053.2

4,174,223.37

4,135,000

4,129,618.78

44,604.59

337.5



5.063

5.059

AO

4.88

55,822.5

10/27/2009

1/21/2055

G9853MHT3

YORKSHIRE BUILDING SOCIETY LOCAL BND
 
D

 
 
1,749,244.45

1,798,089.1

1,000,000

1,723,642.52

74,446.58

(4,542.5
)

40,192.28

1.889

1.896

MON

5.18

(9,913.66
)
4/2/2012

6/20/2022

TOTAL

 
 
 
 
 
 
5,542,259,444.26

5,416,501,699.54

5,522,854,996.89

19,404,447.37

 
 
 
 
 
 
 
 
 
 

Validus Holdings, Ltd. December 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
 
912796CJ6

11/26/2013
BA SECURITIES
4/24/2014
999,714.34


88.45

 

1,000,000.00

999,625.89


 
0.091

0.092

MAT


ELECTRICITE DE FRANCE SA SENIOR CORP BND
 
F2893TAA4

4/3/2013
TORONTO DOMINION SECURITIES IN
1/26/2014
2,006,438.13

(912.53
)
(69,661.87
)
 

2,000,000.00

2,076,100.00

47,361.12

 
5.5

0.744

JJ
33,458.33

47,361.12

UNITED KINGDOM GILT GOVT BND
 
G924504Y1

11/29/2013
DEUTSCHE BANK AG
3/7/2014
1,067,491.87

3.88

(68,288.07
)
 
12,834.72

650,000.00

1,068,255.95

7,761.97

 
2.25

0.345

MS
197,119.09

7,669.75

CATER PILLAR FINANCIAL SERVICE CORP BND
 
14912L4T5

7/22/2013
J.P. MORGAN SECURITIES INC
4/1/2014
300,995.84

(5.81
)
(1,755.16
)
 

300,000.00

302,751

1,237.50

 
1.65

0.305

AO
907.50

1,237.50

EI DU PONT DE NEMOURS & CO CORP BND
 
263534CH0

7/22/2013
DAIN RAUSCHER INC.
3/25/2014
500,516.03

13.99

(993.97
)
 

500,000.00

501,510.00

55.49

 
0.666

0.245

MJSD
55,314.52

514.93

EATON CORPORATION CORP BND
 
278058DJ8

8/1/2013
MIZUHO INTERNATIONAL PLC
6/16/2014
500,552.88

77.16

(492.12
)
 

500,000.00

501,045

127.30

 
0.573

0.363

MJSD
1,082.14

127.30

GOOGLE CORP BND
 
38259PAA0

7/19/2013
J.P. MORGAN SECURITIES INC
5/19/2014
501,954.77

(89.72
)
(2,245.23
)
 

500,000.00

504,200

729.17

 
1.25

0.223

MN
1,996.53

729.17

SOUTHERN COMPANY (THE) CORP BND
 
842587CE5

6/20/2013
UBS WARBURG LLC
5/15/2014
253,287.89

(25.39
)
(4,597.11
)
 

250,000.00

257,885.00

1,325.69

 
4.15

0.587

MN
4,034.72

1,325.69

VERIZON COMMUNICATIONS INC CORP BND FRN
 
92343VAZ7

8/1/2013
MIZUHO INTERNATIONAL PLC
3/28/2014
500,520.19

109.85

(5,843.27
)
 

500,000.00

501,414.00

47.60

 
0.857

0.45

MJSD
33,222.32

47.60

CANADIAN NTL RAIL CO CORP BND
 
136375BH4

00/00/0000
No Broker
3/15/2013


(912.5
)
 




 
4.4


MS
7,481.33


CDN S/T INVT BLENDED ACCT
 
993,252,329.00

12/31/2013
Various
 
1,798,921.74



 

1,798,921.74

1,798,921.74


 
 
0.483

 
653.49


JPMC CP FINANCIAL INST USA
 
46699KTX2

Multi
 
 
16,555,349.72



 

16,555,349.72

16,555,349.72


 
 
 
 
20,503.98


WESTERN AST INS CSH RES
 
52470G205

Multi
 
 
4,067,636.42



 

4,067,636.42

4,067,636.42


 
 
 
 
3,663.57


DREYFUS UNIVERSAL LIQUIDITY PL
 
B0A01CHL6

Multi
 
 
2,619,946.24



 

2,619,946.24

2,619,946.24


 
 
 
 
227.17


CITI-INSTITUTION LIQ FUND USD
 
B0A0ATCJ9

Multi
 
 
12,429,931.87



 

12,429,931.87

12,429,931.87


 
 
 
 
13,572.76


DREYFUS UNIVERSAL USD LIQ FD
 
DRFUNI$20

Multi
 
 
45,022,665.51



 

45,022,665.51

45,022,665.51


 
 
 
 
1,105.3


GOLDMAN SACHS
 
GLDSCS$03

Multi
 
 
40,075,169.67



 

40,075,169.67

40,075,169.67


 
 
 
 
5,497.65







BONY CASH RESERVE
 
S875996$0

Multi
 
 
585,077,415.17



 

585,077,415.17

585,077,415.17


 
 
 
 
22,263.07


BONY CASH RESERVE
 
S99992562

Multi
 
 
35,000,772.4



 

35,000,772.40

35,000,772.4


 
 
 
 
8,917.45


BLACKROCK INTL $ RESERVE
 
S99993578

Multi
 
 
13,855.87



 

13,855.87

13,855.87


 
 
 
 
3,309.84


ML INST LIQ FUND - AGENCY
 
BRS263RF1

Multi
 
 
2,440,938.32



 
32,327.19

1,493,292.38

2,440,938.32


 
 
 
 
5,216.99


Total
 
 
 
 
 
751,734,074.87

(828.57
)
(154,700.85
)
 
45,161.91

750,354,956.99

751,815,389.77

58,645.84

 
 
 
 
 
 

Validus Holdings, Ltd. December 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
 
 
9/4/2009
2,220,339.47

2,303,227.46

2,220,339.47

82,887.99

AIG SELECT HEDGE LTD
 
 
9/4/2009
17.30

17.30

17.30


SVG DIAMOND HOLDINGS II LTD
 
 
11/30/2012
3,765,757.24

4,207,742.57

3,765,757.24

441,985.33

223,959.19
PORT ADVISORS PRIVATE EQUITY I
 
 
11/30/2012
5,202,992.62

6,170,628.62

5,202,992.62

967,636.00

GOLDENTREE DISTRESSED DEBT FUN
 
 
11/30/2012
15,496,731.00

17,303,644.33

15,496,731.00

1,806,913.33

LEAPFROG INVESTMENTS FINANCIAL
 
 
11/30/2012
3,363,782.77

3,106,158.00

3,363,782.77

(257,624.77
)
BUFFETS INC
 
 
7/18/2012
920,570.56

0.07

920,570.56

(920,570.49
)
PAULSON PARTNERS ENHANCED LP
 
 
4/1/2012
161,522,354.08

203,980,114.44

161,522,354.08

42,457,760.36

PAULSON PARTNERS ADVANTAGE PLUS LP
 
 
4/1/2012
125,000,000.00

128,778,697.65

125,000,000.00

3,778,697.65

PAULSON PARTNERS GOLD FUND LP
 
 
4/1/2012
125,000,000.00

29,923,468.21

125,000,000.00

(95,076,531.79
)
PAULSON PARTNERS CREDIT OPPORTUNITIES LP
 
 
6/1/2012
157,500,000.00

181,097,200.35

157,500,000.00

23,597,200.35

LLOYD'S CANADIAN BLENDED ACCOUNT
 
 
10/1/2013
31,537,426.00

31,628,950.00

31,537,426.00

91,524.00

GUARDIAN GROWTH EQUITY
 
 
9/4/2009
6,181,301.52

9,782,369.08

6,181,301.52

3,601,067.56

MFS MERIDIAN MID CAP GROWTH FUND
 
 
9/4/2009
17,203.14

33,382.13

17,203.14

16,178.99

TOTAL
 
 
 
637,728,475.70

618,315,600.21

637,728,475.70

(19,412,875.49
)