0000728889-16-002335.txt : 20160414
0000728889-16-002335.hdr.sgml : 20160414
20160307102823
ACCESSION NUMBER: 0000728889-16-002335
CONFORMED SUBMISSION TYPE: N-MFP
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20160229
FILED AS OF DATE: 20160307
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: OPPENHEIMER VARIABLE ACCOUNT FUNDS
CENTRAL INDEX KEY: 0000752737
IRS NUMBER: 840974272
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: N-MFP
SEC ACT: 1933 Act
SEC FILE NUMBER: 811-04108
FILM NUMBER: 161487288
BUSINESS ADDRESS:
STREET 1: 6803 SOUTH TUCSON WAY
CITY: CENTENNIAL
STATE: CO
ZIP: 80112-3924
BUSINESS PHONE: 3036713200
MAIL ADDRESS:
STREET 1: 6803 SOUTH TUCSON WAY
CITY: CENTENNIAL
STATE: CO
ZIP: 80112-3924
FORMER COMPANY:
FORMER CONFORMED NAME: OPPENHEIMER VARIABLE LIFE FUNDS
DATE OF NAME CHANGE: 19860609
0000752737
S000010340
Oppenheimer Money Fund/VA
C000028604
Non-Service
N-MFP
1
primary_doc.xml
N-MFP
N-MFP
LIVE
N
2016-02-29
0000752737
S000010340
1
N
N
002-93177
OFI Global Asset Management, Inc.
801-76771
OppeheimerFunds, Inc.
801-8253
KPMG
Denver
CO
None
OFI Global Asset Management, Inc.
0001558234
84-06477
N
N
N
Prime
10
10
2964202916.41
3692623.67
99921.18
2967795618.90
0.0039
1.0000
2016-02-29
1.0000
2016-02-29
C000028604
1.00
2967795618.90
1.00
25735748.90
29882433.63
4146684.73
0.0001
1.0000
2016-02-29
1.0000
2016-02-29
Albany Industrial Development Agency Bonds, Albany Medical Center Hospital, Series 2007B
Albany Industrial Development Agency Bonds, Albany Medical Center Hospital, Series 2007B 0.42%
012440JK0
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Bank of America, N.A.
N/A
N/A
Y
Bank of America, N.A.
N/A
N/A
Y
Bank of America, N.A.
Bank of America, N.A.
N/A
N/A
1710000.00
1710000.00
0.0006
N
1709499.61
1709499.61
Anglesea Funding LLC
Anglesea Funding LLC 0.360025%
0347M2C20
Asset Backed Commercial Paper
First Tier Security
2016-03-02
2016-03-02
N
N
N
25000000.00
24999750.00
0.0084
N
24999750.00
24999750.00
Anglesea Funding LLC
Anglesea Funding LLC 0.360025%
0347M2C46
Asset Backed Commercial Paper
First Tier Security
2016-03-04
2016-03-04
N
N
N
15000000.00
14999550.00
0.0051
N
14999550.00
14999550.00
Anglesea Funding LLC
Anglesea Funding LLC 0.360025%
0347M2C38
Asset Backed Commercial Paper
First Tier Security
2016-03-03
2016-03-03
N
N
N
60000000.00
59998800.00
0.0202
N
59998800.00
59998800.00
Anglesea Funding LLC
Anglesea Funding LLC 0.360025%
0347M2C79
Asset Backed Commercial Paper
First Tier Security
2016-03-07
2016-03-07
N
N
N
13000000.00
12999220.00
0.0044
N
12999220.00
12999220.00
Baltimore, MD General Obligation Bonds, Series 2003D
Baltimore, MD General Obligation Bonds, Series 2003D 0.37%
059189QB9
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
State Street Bank and Trust
N/A
N/A
Y
State Street Bank and Trust
N/A
N/A
Y
State Street Bank and Trust
State Street Bank and Trust
N/A
N/A
1850000.00
1850000.00
0.0006
N
1849457.64
1849457.64
Bank of Nova Scotia, Houston TX
Bank of Nova Scotia, Houston TX 0.42%
06417GAF5
Certificate of Deposit
First Tier Security
2016-03-21
2016-03-21
N
N
N
5500000.00
5500000.00
0.0019
N
5491530.00
5491530.00
Bank of Nova Scotia, Houston TX
Bank of Nova Scotia, Houston TX 0.6485%
06417HUA2
Certificate of Deposit
First Tier Security
2016-03-04
2016-03-04
N
N
N
5000000.00
5000033.46
0.0017
N
4997691.65
4997691.65
Bank of Nova Scotia, Houston TX
Bank of Nova Scotia, Houston TX 0.57%
06417HE51
Certificate of Deposit
First Tier Security
2016-03-01
2016-03-23
N
N
N
2000000.00
2000000.00
0.0007
N
1998773.33
1998773.33
Barton Capital SA
Barton Capital SA 0.430144%
06945LCF3
Asset Backed Commercial Paper
First Tier Security
2016-03-15
2016-03-15
N
N
N
15000000.00
14997491.67
0.0051
N
14997491.67
14997491.67
Barton Capital SA
Barton Capital SA 0.440119%
06945LC14
Asset Backed Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
40000000.00
40000000.00
0.0135
N
40000000.00
40000000.00
Barton Capital SA
Barton Capital SA 0.430113%
06945LC22
Asset Backed Commercial Paper
First Tier Security
2016-03-02
2016-03-02
N
N
N
5000000.00
4999940.28
0.0017
N
4999940.28
4999940.28
Barton Capital SA
Barton Capital SA 0.410159%
06945LC97
Asset Backed Commercial Paper
First Tier Security
2016-03-09
2016-03-09
N
N
N
15000000.00
14998633.33
0.0051
N
14998633.33
14998633.33
Bennington Stark Capital Co.
Bennington Stark Capital Co. 0.450141%
08224LC12
Asset Backed Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
16000000.00
16000000.00
0.0054
N
16000000.00
16000000.00
Bennington Stark Capital Co.
Bennington Stark Capital Co. 0.480224%
08224LCE4
Asset Backed Commercial Paper
First Tier Security
2016-03-14
2016-03-14
N
N
N
22000000.00
21996186.67
0.0074
N
21996186.67
21996186.67
BNP Paribas, New York
BNP Paribas, New York 0.344167%
09659BC16
Financial Company Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
105500000.00
105500000.00
0.0355
N
105500000.00
105500000.00
BNP Paribas, New York
BNP Paribas, New York 0.40012%
09659BC24
Financial Company Commercial Paper
First Tier Security
2016-03-02
2016-03-02
N
N
N
35000000.00
34999611.11
0.0118
N
34999611.11
34999611.11
CAFCO LLC
CAFCO LLC 0.430252%
12476ECJ6
Asset Backed Commercial Paper
First Tier Security
2016-03-18
2016-03-18
N
N
N
5000000.00
4998984.72
0.0017
N
4998984.72
4998984.72
Canadian Imperial Bank of Commerce NY
Canadian Imperial Bank of Commerce NY 0.36%
13606ARE0
Certificate of Deposit
First Tier Security
2016-03-03
2016-03-03
N
N
N
115000000.00
115000000.00
0.0387
N
114994250.00
114994250.00
Canadian Imperial Bank of Commerce NY
Canadian Imperial Bank of Commerce NY 0.52%
13606J4T3
Certificate of Deposit
First Tier Security
2016-03-04
2016-03-04
N
N
N
25000000.00
25000206.01
0.0084
N
24924011.57
24924011.57
Caterpillar Financial Services Corp.
Caterpillar Financial Services Corp. 0.430237%
14912DD48
Financial Company Commercial Paper
First Tier Security
2016-04-04
2016-04-04
N
Y
Caterpillar Inc.
N/A
N/A
N
16424000.00
16417330.03
0.0055
N
16417330.03
16417330.03
Caterpillar Financial Services Corp.
Caterpillar Financial Services Corp. 0.390131%
14912DCA5
Other Commercial Paper
First Tier Security
2016-03-10
2016-03-10
N
Y
Caterpillar Inc.
N/A
N/A
N
11100000.00
11098917.75
0.0037
N
11098917.75
11098917.75
Concord Minutemen Cap. Co. LLC
Concord Minutemen Cap. Co. LLC 0.420127%
2063C0C83
Asset Backed Commercial Paper
First Tier Security
2016-03-08
2016-03-08
N
N
N
55800000.00
55795443.00
0.0188
N
55795443.00
55795443.00
Concord Minutemen Cap. Co. LLC
Concord Minutemen Cap. Co. LLC 0.420157%
2063C0CN0
Asset Backed Commercial Paper
First Tier Security
2016-03-22
2016-03-22
N
N
N
30000000.00
29992650.00
0.0101
N
29992650.00
29992650.00
Credit Agricole Corporate & Investment Bank, New York Branch
Credit Agricole Corporate & Investment Bank, New York Branch 0.400031%
22533TC46
Financial Company Commercial Paper
First Tier Security
2016-03-04
2016-03-04
N
N
N
103000000.00
102996566.66
0.0347
N
102996566.66
102996566.66
Credit Agricole Corporate & Investment Bank, New York Branch
Credit Agricole Corporate & Investment Bank, New York Branch 0.400031%
22533TC20
Financial Company Commercial Paper
First Tier Security
2016-03-02
2016-03-02
N
N
N
21500000.00
21499761.11
0.0072
N
21499761.11
21499761.11
Credit Agricole Corporate & Investment Bank, New York Branch
Credit Agricole Corporate & Investment Bank, New York Branch 0.400032%
22533TC38
Financial Company Commercial Paper
First Tier Security
2016-03-03
2016-03-03
N
N
N
20000000.00
19999555.55
0.0067
N
19999555.55
19999555.55
Danske Corp.
Danske Corp. 0.500299%
2363F6D64
Financial Company Commercial Paper
First Tier Security
2016-04-06
2016-04-06
N
Y
Danske Bank
N/A
N/A
N
25000000.00
24987500.00
0.0084
N
24987500.00
24987500.00
DnB Bank ASA NY
DnB Bank ASA NY 0.35%
23340QDZ3
Certificate of Deposit
First Tier Security
2016-03-07
2016-03-07
N
N
N
100000000.00
100000000.00
0.0337
N
99999027.78
99999027.78
DnB Bank ASA NY
DnB Bank ASA NY 0.36%
23340QDW0
Certificate of Deposit
First Tier Security
2016-03-07
2016-03-07
N
N
N
23000000.00
23000000.00
0.0077
N
22999080.00
22999080.00
DZ Bank, New York
DZ Bank, New York 0.66%
23328AMM3
Certificate of Deposit
First Tier Security
2016-03-24
2016-03-24
N
N
N
25000000.00
25003344.72
0.0084
N
24972178.05
24972178.05
DZ Bank, New York
DZ Bank, New York 0.44%
23328AMA9
Certificate of Deposit
First Tier Security
2016-03-07
2016-03-07
N
N
N
62000000.00
62000407.04
0.0209
N
61889771.49
61889771.49
ExxonMobil Corp.
ExxonMobil Corp. 0.40004%
30229AC31
Other Commercial Paper
First Tier Security
2016-03-03
2016-03-03
N
N
N
5000000.00
4999888.89
0.0017
N
4999888.89
4999888.89
ExxonMobil Corp.
ExxonMobil Corp. 0.420162%
30229ACF4
Other Commercial Paper
First Tier Security
2016-03-15
2016-03-15
N
N
N
40000000.00
39993466.67
0.0135
N
39993466.67
39993466.67
Fannie Mae
Fannie Mae 0.370495%
313588YR0
Other Note
First Tier Security
2016-06-27
2016-06-27
N
N
N
25000000.00
24969680.55
0.0084
N
24969680.55
24969680.55
Federal Home Loan Bank
Federal Home Loan Bank 0.390385%
313384XJ3
Other Note
First Tier Security
2016-05-27
2016-05-27
N
N
N
24000000.00
23977380.00
0.0081
N
23977380.00
23977380.00
Federal Home Loan Bank
Federal Home Loan Bank 0.350433%
313384YN3
Other Note
First Tier Security
2016-06-24
2016-06-24
N
N
N
25000000.00
24972048.61
0.0084
N
24972048.61
24972048.61
Federal Home Loan Bank
Federal Home Loan Bank 0.395482%
313384YD5
Other Note
First Tier Security
2016-06-15
2016-06-15
N
N
N
13665000.00
13649106.85
0.0046
N
13649106.85
13649106.85
Freddie Mac
Freddie Mac 0.390537%
313396YS6
Other Note
First Tier Security
2016-06-28
2016-06-28
N
N
N
25000000.00
24967770.84
0.0084
N
24967770.84
24967770.84
General Secretariat of the Organization of American States (The), Series A
General Secretariat of the Organization of American States (The), Series A %
370745AA9
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Bank of America, N.A.
N/A
N/A
Y
Bank of America, N.A.
N/A
N/A
N
19540000.00
19540000.00
0.0066
N
19531369.83
19531369.83
Gotham Funding Corp.
Gotham Funding Corp. 0.350011%
38346LC12
Asset Backed Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
20500000.00
20500000.00
0.0069
N
20500000.00
20500000.00
Grand River Dam Authority Revenue Bonds, Series 2014C
Grand River Dam Authority Revenue Bonds, Series 2014C 0.39%
386442WB9
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Barclays Bank PLC
N/A
N/A
Y
Barclays Bank PLC
N/A
N/A
N
5750000.00
5750000.00
0.0019
N
5745082.65
5745082.65
ING (US) Funding LLC
ING (US) Funding LLC 0.390054%
4497W0C22
Financial Company Commercial Paper
First Tier Security
2016-03-02
2016-03-02
N
Y
ING Bank NV
N/A
N/A
N
10000000.00
9999891.67
0.0034
N
9999891.67
9999891.67
Jupiter Securitization Co. LLC
Jupiter Securitization Co. LLC 0.299998%
4820P2C11
Asset Backed Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
27274000.00
27274000.00
0.0092
N
27274000.00
27274000.00
Knox, IN Economic Development Revenue Bonds, Toll IN LLC Project, Series 2014
Knox, IN Economic Development Revenue Bonds, Toll IN LLC Project, Series 2014 0.4%
499588AP6
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Bank of America, N.A.
N/A
N/A
Y
Bank of America, N.A.
N/A
N/A
N
11300000.00
11300000.00
0.0038
N
11296418.58
11296418.58
Lexington Parker Capital Co. LLC
Lexington Parker Capital Co. LLC 0.420127%
52952LCE0
Asset Backed Commercial Paper
First Tier Security
2016-03-14
2016-03-14
N
N
N
33000000.00
32994995.00
0.0111
N
32994995.00
32994995.00
Lexington Parker Capital Co. LLC
Lexington Parker Capital Co. LLC 0.420132%
52952LCA8
Asset Backed Commercial Paper
First Tier Security
2016-03-10
2016-03-10
N
N
N
41000000.00
40995695.00
0.0138
N
40995695.00
40995695.00
Macon-Bibb Cnty. Industrial Development Authority Revenue Bonds, Bass Pro Outdoor World, Series 2015
Macon-Bibb Cnty. Industrial Development Authority Revenue Bonds, Bass Pro Outdoor World, Series 2015 0.4%
55553PAJ8
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
General Electric Capital Corp.
N/A
N/A
Y
General Electric Capital Corp.
N/A
N/A
N
8500000.00
8500000.00
0.0029
N
8497306.01
8497306.01
Manhattan Asset Funding Co.
Manhattan Asset Funding Co. 0.408646%
56274LCA0
Asset Backed Commercial Paper
First Tier Security
2016-03-10
2016-03-10
N
N
N
35000000.00
34996425.00
0.0118
N
34996425.00
34996425.00
Manhattan Asset Funding Co.
Manhattan Asset Funding Co. 0.380029%
56274LC44
Asset Backed Commercial Paper
First Tier Security
2016-03-04
2016-03-04
N
N
N
20000000.00
19999366.67
0.0067
N
19999366.67
19999366.67
Manhattan Asset Funding Co.
Manhattan Asset Funding Co. 0.400063%
56274LC93
Asset Backed Commercial Paper
First Tier Security
2016-03-09
2016-03-09
N
N
N
19000000.00
18998311.11
0.0064
N
18998311.11
18998311.11
Manhattan Asset Funding Co.
Manhattan Asset Funding Co. 0.460165%
56274LC77
Asset Backed Commercial Paper
First Tier Security
2016-03-07
2016-03-07
N
N
N
10000000.00
9999233.33
0.0034
N
9999233.33
9999233.33
Manhattan Asset Funding Co.
Manhattan Asset Funding Co. 0.460172%
56274LC85
Asset Backed Commercial Paper
First Tier Security
2016-03-08
2016-03-08
N
N
N
3000000.00
2999731.67
0.0010
N
2999731.67
2999731.67
MI Finance Authority School Loan Revolving Fund Revenue Bonds, Series 2010B
MI Finance Authority School Loan Revolving Fund Revenue Bonds, Series 2010B 0.35%
59447PCH2
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
N
7000000.00
7000000.00
0.0024
N
6998026.39
6998026.39
Mitsubishi UFJ TR & BK NY
Mitsubishi UFJ TR & BK NY 0.5%
60682AA22
Certificate of Deposit
First Tier Security
2016-04-01
2016-04-01
N
N
N
5000000.00
5000000.00
0.0017
N
4989444.44
4989444.44
Mitsubishi UFJ TR & BK NY
Mitsubishi UFJ TR & BK NY 0.5%
60682AA55
Certificate of Deposit
First Tier Security
2016-04-01
2016-04-01
N
N
N
2600000.00
2600000.00
0.0009
N
2594547.22
2594547.22
Mitsubishi UFJ TR & BK NY
Mitsubishi UFJ TR & BK NY 0.5%
60682AZS8
Certificate of Deposit
First Tier Security
2016-03-16
2016-03-16
N
N
N
5000000.00
5000000.00
0.0017
N
4988541.67
4988541.67
Mizuho Bank Ltd., New York
Mizuho Bank Ltd., New York 0.5%
60689DKQ5
Certificate of Deposit
First Tier Security
2016-03-17
2016-03-17
N
N
N
88000000.00
88002702.94
0.0297
N
87801036.28
87801036.28
National Australia Bank Ltd.
National Australia Bank Ltd. 0.380058%
63254EC16
Financial Company Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
50000000.00
50000000.00
0.0168
N
50000000.00
50000000.00
Natixis, New York Branch
Natixis, New York Branch 0.370026%
63873JC16
Financial Company Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
50000000.00
50000000.00
0.0168
N
50000000.00
50000000.00
Natixis, New York Branch
Natixis, New York Branch 0.370027%
63873JC73
Financial Company Commercial Paper
First Tier Security
2016-03-07
2016-03-07
N
N
N
45000000.00
44997225.00
0.0152
N
44997225.00
44997225.00
Natixis, New York Branch
Natixis, New York Branch 0.370026%
63873JC40
Financial Company Commercial Paper
First Tier Security
2016-03-04
2016-03-04
N
N
N
50000000.00
49998458.33
0.0168
N
49998458.33
49998458.33
Nieuw Amsterdam Receivables Corp.
Nieuw Amsterdam Receivables Corp. 0.410117%
65409RCJ7
Asset Backed Commercial Paper
First Tier Security
2016-03-18
2016-03-18
N
N
N
10708000.00
10705926.81
0.0036
N
10705926.81
10705926.81
Nieuw Amsterdam Receivables Corp.
Nieuw Amsterdam Receivables Corp. 0.330002%
65409RC16
Asset Backed Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
51731000.00
51731000.00
0.0174
N
51731000.00
51731000.00
Nieuw Amsterdam Receivables Corp.
Nieuw Amsterdam Receivables Corp. 0.390046%
65409RC24
Asset Backed Commercial Paper
First Tier Security
2016-03-02
2016-03-02
N
N
N
5600000.00
5599939.33
0.0019
N
5599939.33
5599939.33
NJ Health Care Facilities Financing Authority, Saint Barnabas Corp., Series 2011C
NJ Health Care Facilities Financing Authority, Saint Barnabas Corp., Series 2011C 0.28%
64579FT86
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
Y
JPMorgan Chase Bank, N.A.
JPMorgan Chase Bank, N.A.
N/A
N/A
3270000.00
3270000.00
0.0011
N
3269283.46
3269283.46
Novartis Finance Corp.
Novartis Finance Corp. 0.370084%
6698M4CA8
Other Commercial Paper
First Tier Security
2016-03-10
2016-03-10
N
Y
Novartis AG
N/A
N/A
N
35000000.00
34996762.50
0.0118
N
34996762.50
34996762.50
Novartis Finance Corp.
Novartis Finance Corp. 0.350071%
6698M4C42
Other Commercial Paper
First Tier Security
2016-03-04
2016-03-04
N
Y
Novartis AG
N/A
N/A
N
12500000.00
12499635.42
0.0042
N
12499635.42
12499635.42
Novartis Finance Corp.
Novartis Finance Corp. 0.374325%
6698M4CJ9
Other Commercial Paper
First Tier Security
2016-03-18
2016-03-18
N
Y
Novartis AG
N/A
N/A
N
11880000.00
11877900.69
0.0040
N
11877900.69
11877900.69
NYS Housing Finance Agency 8 East 102nd State Housing Revenue Bonds, Series 2010B
NYS Housing Finance Agency 8 East 102nd State Housing Revenue Bonds, Series 2010B 0.36%
64986UED5
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Toronto-Dominion Bank
N/A
N/A
Y
Toronto-Dominion Bank
N/A
N/A
N
8010000.00
8010000.00
0.0027
N
8007715.18
8007715.18
NYS Housing Finance Agency Clinton Park Phase ll Housing Revenue Bonds, MH Rental LLC, Series 2011B
NYS Housing Finance Agency Clinton Park Phase ll Housing Revenue Bonds, MH Rental LLC, Series 2011B 0.4%
64986UKW6
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Wells Fargo Bank N.A.
N/A
N/A
Y
Wells Fargo Bank N.A.
N/A
N/A
N
11000000.00
11000000.00
0.0037
N
10996513.66
10996513.66
Oppenheimer Institutional Money Market Fund
Oppenheimer Institutional Money Market Fund 0.42%
68383G108
Investment Company
First Tier Security
2016-03-01
2016-03-01
N
N
N
145377270.32
145377270.32
0.0490
N
145377270.32
145377270.32
Portland Clinic LLP (The) Bonds, Series 2008
Portland Clinic LLP (The) Bonds, Series 2008 %
736440AB4
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
U.S. Bank N.A.
N/A
N/A
Y
U.S. Bank N.A.
N/A
N/A
N
10215000.00
10215000.00
0.0034
N
10211753.59
10211753.59
Ridgefield Funding Co. LLC
Ridgefield Funding Co. LLC 0.460189%
76582JC77
Asset Backed Commercial Paper
First Tier Security
2016-03-07
2016-03-07
N
N
N
4188000.00
4187678.92
0.0014
N
4187678.92
4187678.92
Sheffield Receivables Corp.
Sheffield Receivables Corp. 0.500215%
82124LCB6
Asset Backed Commercial Paper
First Tier Security
2016-03-11
2016-03-11
N
N
N
28800000.00
28796000.00
0.0097
N
28796000.00
28796000.00
Sheffield Receivables Corp.
Sheffield Receivables Corp. 0.5002%
82124LCJ9
Asset Backed Commercial Paper
First Tier Security
2016-03-18
2016-03-18
N
N
N
60000000.00
59985833.33
0.0202
N
59985833.33
59985833.33
Skandinaviska Enskilda Banken, Grand Cayman
Skandinaviska Enskilda Banken, Grand Cayman 0.28%
83050ZV20
Certificate of Deposit
First Tier Security
2016-03-01
2016-03-01
N
N
N
145000000.00
145000000.00
0.0489
N
144998872.22
144998872.22
Societe Generale
Societe Generale 0.239998%
83369BC12
Financial Company Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
32000000.00
32000000.00
0.0108
N
32000000.00
32000000.00
St. Paul, MN Bonds, Rivercentre Arena Project, Series 2009A
St. Paul, MN Bonds, Rivercentre Arena Project, Series 2009A 0.43%
79307TBM1
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Wells Fargo Bank N.A.
N/A
N/A
Y
Wells Fargo Bank N.A.
N/A
N/A
Y
Wells Fargo Bank N.A.
Wells Fargo Bank N.A.
N/A
N/A
900000.00
900000.00
0.0003
N
899699.26
899699.26
Starbird Funding Corp.
Starbird Funding Corp. 0.362478%
85520LC11
Asset Backed Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
N
N
80175000.00
80175000.00
0.0270
N
80175000.00
80175000.00
Sumitomo Mutsui Bank NY
Sumitomo Mutsui Bank NY 0.4%
86563QCH1
Certificate of Deposit
First Tier Security
2016-03-01
2016-03-01
N
N
N
20000000.00
20000000.00
0.0067
N
19970222.22
19970222.22
Svenska Handelsbanken, Grand Cayman
Svenska Handelsbanken, Grand Cayman 0.27%
86959ZLC4
Certificate of Deposit
First Tier Security
2016-03-01
2016-03-01
N
N
N
75000000.00
75000000.00
0.0253
N
74999437.50
74999437.50
Svenska Handelsbanken, New York
Svenska Handelsbanken, New York 0.4%
86958DS45
Certificate of Deposit
First Tier Security
2016-03-09
2016-03-09
N
N
N
70000000.00
70000000.00
0.0236
N
69983666.66
69983666.66
Swedbank AB, New York
Swedbank AB, New York 0.37%
87019UFB0
Certificate of Deposit
First Tier Security
2016-03-01
2016-03-01
N
N
N
142000000.00
142000000.00
0.0478
N
141989783.89
141989783.89
Tennis for Charity, Inc. Bonds, Series 2004
Tennis for Charity, Inc. Bonds, Series 2004 0.37%
880646AA2
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
Y
JPMorgan Chase Bank, N.A.
JPMorgan Chase Bank, N.A.
N/A
N/A
3010000.00
3010000.00
0.0010
N
3009115.92
3009115.92
Toronto Dominion Bank, New York
Toronto Dominion Bank, New York 0.5805%
89113ESK3
Certificate of Deposit
First Tier Security
2016-03-16
2016-03-16
N
N
N
5000000.00
5000000.00
0.0017
N
4998871.25
4998871.25
Total Capital SA
Total Capital SA 0.270002%
89152EC14
Other Commercial Paper
First Tier Security
2016-03-01
2016-03-01
N
Y
Total S.A.
N/A
N/A
N
140000000.00
140000000.00
0.0472
N
140000000.00
140000000.00
UBS Finance (Delaware) LLC
UBS Finance (Delaware) LLC 0.440231%
90262CC88
Financial Company Commercial Paper
First Tier Security
2016-03-08
2016-03-08
N
Y
UBS AG
N/A
N/A
N
17000000.00
16998545.56
0.0057
N
16998545.56
16998545.56
University Hospitals Health System, Inc. Hospital Revenue Bonds, Series 2013C
University Hospitals Health System, Inc. Hospital Revenue Bonds, Series 2013C 0.4%
914293AA3
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Barclays Bank PLC
N/A
N/A
Y
Barclays Bank PLC
N/A
N/A
N
36250000.00
36250000.00
0.0122
N
36238243.51
36238243.51
Victory Receivables Corp.
Victory Receivables Corp. 0.479219%
92646KC34
Asset Backed Commercial Paper
First Tier Security
2016-03-03
2016-03-03
N
N
N
31477000.00
31476162.29
0.0106
N
31476162.29
31476162.29
West Memphis, AR Industrial Development Revenue Bonds, S-B Power Tool, Series 2000A
West Memphis, AR Industrial Development Revenue Bonds, S-B Power Tool, Series 2000A 0.37%
954311HG4
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
Y
JPMorgan Chase Bank, N.A.
N/A
N/A
N
7200000.00
7200000.00
0.0024
N
7197883.28
7197883.28
Yavapai Cnty., AR Industrial Development Authority Revenue Bonds, Drake Cemet LLC Project, Series 2015
Yavapai Cnty., AR Industrial Development Authority Revenue Bonds, Drake Cemet LLC Project, Series 2015 0.38%
98521YAB5
Variable Rate Demand Note
First Tier Security
2016-03-07
2016-03-07
Y
Bank of Nova Scotia
N/A
N/A
Y
Bank of Nova Scotia
N/A
N/A
N
16625000.00
16625000.00
0.0056
N
16619994.33
16619994.33