0000040729-15-000298.txt : 20150814
0000040729-15-000298.hdr.sgml : 20150814
20150814163045
ACCESSION NUMBER: 0000040729-15-000298
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20150630
FILED AS OF DATE: 20150814
DATE AS OF CHANGE: 20150814
EFFECTIVENESS DATE: 20150814
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Ally Financial Inc.
CENTRAL INDEX KEY: 0000040729
STANDARD INDUSTRIAL CLASSIFICATION: FINANCE LESSORS [6172]
IRS NUMBER: 380572512
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-14534
FILM NUMBER: 151056345
BUSINESS ADDRESS:
STREET 1: MAIL CODE: 482-B09-C24
STREET 2: 200 RENAISSANCE CENTER
CITY: DETROIT
STATE: MI
ZIP: 48265
BUSINESS PHONE: 866-710-4623
MAIL ADDRESS:
STREET 1: MAIL CODE: 482-B09-C24
STREET 2: 200 RENAISSANCE CENTER
CITY: DETROIT
STATE: MI
ZIP: 48265
FORMER COMPANY:
FORMER CONFORMED NAME: GMAC INC.
DATE OF NAME CHANGE: 20090701
FORMER COMPANY:
FORMER CONFORMED NAME: GMAC LLC
DATE OF NAME CHANGE: 20060720
FORMER COMPANY:
FORMER CONFORMED NAME: GENERAL MOTORS ACCEPTANCE CORP
DATE OF NAME CHANGE: 19920703
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0000040729
XXXXXXXX
06-30-2015
06-30-2015
Ally Financial Inc.
MAIL CODE: 482-B09-C24
200 RENAISSANCE CENTER
DETROIT
MI
48265
13F HOLDINGS REPORT
028-14534
N
Donna M. DiCicco
Assistant Secretary
313-656-6302
/s/ Donna M. DiCicco
Detroit
MI
08-14-2015
2
128
987626
false
1
0001527685
028-14536
Ally Insurance Holdings Inc.
2
0001527661
028-14535
Motors Insurance Corp.
INFORMATION TABLE
2
allyq2201513f-hrinformatio.xml
INFORMATION TABLE
3m Co
COM
88579Y101
1543
10000
SH
DFND
1
10000
0
0
Agilent Technologies Inc
COM
00846U101
1736
45000
SH
DFND
1
45000
0
0
Alibaba Group Holding Ltd
ADR
01609W102
2468
30000
SH
DFND
1
30000
0
0
Allergan Plc
COM
G0083B108
2428
8000
SH
DFND
2
8000
0
0
Altria Group Inc
COM
02209S103
2446
50000
SH
DFND
2
50000
0
0
American Express Co
COM
025816109
14378
185000
SH
DFND
1,2
185000
0
0
American Tower Corp
REIT
03027X100
2332
25000
SH
DFND
2
25000
0
0
Ameriprise Financial Inc
COM
03076C106
4997
40000
SH
DFND
1,2
40000
0
0
Amgen Inc
COM
031162100
3838
25000
SH
DFND
2
25000
0
0
Anadarko Petroleum Corp
COM
032511107
3513
45000
SH
DFND
1
45000
0
0
Apache Corp
COM
037411105
2882
50000
SH
DFND
1
50000
0
0
Apple Inc
COM
037833100
12543
100000
SH
DFND
1,2
100000
0
0
At&t Inc
COM
00206R102
16339
460000
SH
DFND
1,2
460000
0
0
Autodesk Inc
COM
052769106
1252
25000
SH
DFND
2
25000
0
0
Baidu Inc
ADR
056752108
2389
12000
SH
DFND
2
12000
0
0
Bank Of America Corp
COM
060505104
13616
800000
SH
DFND
1,2
800000
0
0
Baxter International Inc
COM
071813109
2797
40000
SH
DFND
2
40000
0
0
Becton Dickinson And Co
COM
075887109
2550
18000
SH
DFND
2
18000
0
0
Berkshire Hathaway Inc
COM
084670702
12250
90000
SH
DFND
1,2
90000
0
0
Biogen Inc
COM
09062X103
2424
6000
SH
DFND
1,2
6000
0
0
Blackrock Inc
COM
09247X101
2422
7000
SH
DFND
1
7000
0
0
Bp Plc
ADR
055622104
5594
140000
SH
DFND
1
140000
0
0
Capital One Financial Corp
COM
14040H105
3959
45000
SH
DFND
2
45000
0
0
Cbs Corp
COM
124857202
3885
70000
SH
DFND
2
70000
0
0
Celgene Corp
COM
151020104
2546
22000
SH
DFND
1,2
22000
0
0
Chevron Corp
COM
166764100
14471
150000
SH
DFND
1,2
150000
0
0
Cisco Systems Inc
COM
17275R102
9748
355000
SH
DFND
1,2
355000
0
0
Citigroup Inc
COM
172967424
5248
95000
SH
DFND
2
95000
0
0
Coach Inc
COM
189754104
4153
120000
SH
DFND
1
120000
0
0
Coca-cola Co/the
COM
191216100
19419
495000
SH
DFND
1,2
495000
0
0
Colgate-palmolive Co
COM
194162103
5233
80000
SH
DFND
2
80000
0
0
Comcast Corp
COM
20030N101
3909
65000
SH
DFND
1,2
65000
0
0
Conocophillips
COM
20825C104
11361
185000
SH
DFND
1,2
185000
0
0
Costco Wholesale Corp
COM
22160K105
2026
15000
SH
DFND
1
15000
0
0
Crown Castle International Corp
REIT
22822V101
2409
30000
SH
DFND
1
30000
0
0
Csx Corp
COM
126408103
1469
45000
SH
DFND
2
45000
0
0
Danaher Corp
COM
235851102
2444
28550
SH
DFND
2
28550
0
0
Devon Energy Corp
COM
25179M103
2677
45000
SH
DFND
1
45000
0
0
Discover Financial Services
COM
254709108
2881
50000
SH
DFND
2
50000
0
0
Discovery Communications Inc
COM
25470F104
2661
80000
SH
DFND
2
80000
0
0
Duke Energy Corp
COM
26441C204
7062
100000
SH
DFND
1,2
100000
0
0
Ebay Inc
COM
278642103
1205
20000
SH
DFND
2
20000
0
0
Ecolab Inc
COM
278865100
3957
35000
SH
DFND
2
35000
0
0
Ei Du Pont De Nemours & Co
COM
263534109
1279
20000
SH
DFND
2
20000
0
0
Emc Corp/ma
COM
268648102
2243
85000
SH
DFND
1
85000
0
0
Emerson Electric Co
COM
291011104
9700
175000
SH
DFND
1,2
175000
0
0
Eog Resources Inc
COM
26875P101
4378
50000
SH
DFND
1
50000
0
0
Express Scripts Holding Co
COM
30219G108
2668
30000
SH
DFND
2
30000
0
0
Exxon Mobil Corp
COM
30231G102
23296
280000
SH
DFND
1,2
280000
0
0
Facebook Inc
COM
30303M102
6861
80000
SH
DFND
1
80000
0
0
Fastenal Co
COM
311900104
5062
120000
SH
DFND
1,2
120000
0
0
Fedex Corp
COM
31428X106
2556
15000
SH
DFND
2
15000
0
0
Ford Motor Co
COM
345370860
4728
315000
SH
DFND
1
315000
0
0
Franklin Resources Inc
COM
354613101
4903
100000
SH
DFND
2
100000
0
0
Freeport-mcmoran Inc
COM
35671D857
7634
410000
SH
DFND
1,2
410000
0
0
General Electric Co
COM
369604103
17270
650000
SH
DFND
1,2
650000
0
0
General Motors Co
COM
37045V100
9499
285000
SH
DFND
1
285000
0
0
Google
COM
38259P706
3644
7000
SH
DFND
2
7000
0
0
Google Inc
COM
38259P508
10801
20000
SH
DFND
1
20000
0
0
Halliburton Co
COM
406216101
3446
80000
SH
DFND
1
80000
0
0
Health Care Select Sector Spdr Fund
ETF
81369Y209
5207
70000
SH
DFND
2
70000
0
0
Hershey Co/the
COM
427866108
2221
25000
SH
DFND
1,2
25000
0
0
Honeywell International Inc
COM
438516106
2549
25000
SH
DFND
1
25000
0
0
Intel Corp
COM
458140100
7452
245000
SH
DFND
1,2
245000
0
0
International Business Machines Corp
COM
459200101
7482
46000
SH
DFND
2
46000
0
0
Invesco Ltd
COM
G491BT108
2437
65000
SH
DFND
1,2
65000
0
0
Ishares 20+ Year Treasury Bond Etf
ETF
464287432
5286
45000
SH
DFND
1
45000
0
0
Ishares Iboxx $ High Yield Corporate Bond Etf
ETF
464288513
48840
550000
SH
DFND
1
550000
0
0
Ishares Iboxx $ Investment Grade Corporate Bond Etf
ETF
464287242
35295
305000
SH
DFND
1
305000
0
0
Ishares National Amt-free Muni Bond Etf
ETF
464288414
97389
900000
SH
DFND
1
900000
0
0
Ishares Tips Bond Etf
ETF
464287176
49862
445000
SH
DFND
1
445000
0
0
Ishares Us Real Estate Etf
ETF
464287739
4991
70000
SH
DFND
1
70000
0
0
Johnson & Johnson
COM
478160104
19492
200000
SH
DFND
1,2
200000
0
0
Kimberly-clark Corp
COM
494368103
2649
25000
SH
DFND
1
25000
0
0
KKR & CO LP
COM
48248M102
5712
250000
SH
DFND
1
250000
0
0
Las Vegas Sands Corp
COM
517834107
2366
45000
SH
DFND
1
45000
0
0
Linear Technology Corp
COM
535678106
3538
80000
SH
DFND
1
80000
0
0
Lowe's Cos Inc
COM
548661107
1507
22500
SH
DFND
1
22500
0
0
Macy's Inc
COM
55616P104
1012
15000
SH
DFND
1
15000
0
0
Mastercard Inc
COM
57636Q104
2337
25000
SH
DFND
2
25000
0
0
Mcdonald's Corp
COM
580135101
9982
105000
SH
DFND
1,2
105000
0
0
Medtronic Plc
COM
G5960L103
2593
35000
SH
DFND
2
35000
0
0
Merck & Co Inc
COM
58933Y105
14802
260000
SH
DFND
1,2
260000
0
0
Michael Kors Holdings Ltd
COM
G60754101
2105
50000
SH
DFND
1
50000
0
0
Microsoft Corp
COM
594918104
17660
400000
SH
DFND
1,2
400000
0
0
Monsanto Co
COM
61166W101
3731
35000
SH
DFND
2
35000
0
0
National Oilwell Varco Inc
COM
637071101
1207
25000
SH
DFND
1
25000
0
0
Noble Corp
COM
G65431101
2693
175000
SH
DFND
1
175000
0
0
Occidental Petroleum Corp
COM
674599105
5444
70000
SH
DFND
1,2
70000
0
0
Oracle Corp
COM
68389X105
9672
240000
SH
DFND
2
240000
0
0
Pepsico Inc
COM
713448108
20068
215000
SH
DFND
1,2
215000
0
0
PFIZER INC
COM
717081103
5029
150000
SH
DFND
1
150000
0
0
Philip Morris International Inc
COM
718172109
18840
235000
SH
DFND
1,2
235000
0
0
Praxair Inc
COM
74005P104
2989
25000
SH
DFND
1
25000
0
0
Precision Castparts Corp
COM
740189105
4997
25000
SH
DFND
2
25000
0
0
Priceline Group Inc/the
COM
741503403
3454
3000
SH
DFND
1
3000
0
0
Procter & Gamble Co/the
COM
742718109
19560
250000
SH
DFND
1,2
250000
0
0
Prudential Financial Inc
COM
744320102
8752
100000
SH
DFND
1,2
100000
0
0
Qualcomm Inc
COM
747525103
10960
175000
SH
DFND
1,2
175000
0
0
Ralph Lauren Corp
COM
751212101
2647
20000
SH
DFND
1
20000
0
0
Range Resources Corp
COM
75281A109
2469
50000
SH
DFND
1
50000
0
0
Royal Caribbean Cruises Ltd
COM
V7780T103
1180
15000
SH
DFND
2
15000
0
0
Sandisk Corp
COM
80004C101
2038
35000
SH
DFND
1
35000
0
0
Schlumberger Ltd
COM
806857108
5171
60000
SH
DFND
1
60000
0
0
Southern Co/the
COM
842587107
2304
55000
SH
DFND
1
55000
0
0
Southwestern Energy Co
COM
845467109
2159
95000
SH
DFND
1
95000
0
0
Sysco Corp
COM
871829107
4874
135000
SH
DFND
1,2
135000
0
0
T Rowe Price Group Inc
COM
74144T108
1555
20000
SH
DFND
1
20000
0
0
Texas Instruments Inc
COM
882508104
1545
30000
SH
DFND
1,2
30000
0
0
Thermo Fisher Scientific Inc
COM
883556102
5839
45000
SH
DFND
2
45000
0
0
Tiffany & Co
COM
886547108
4590
50000
SH
DFND
1
50000
0
0
Travelers Cos Inc/the
COM
89417E109
1450
15000
SH
DFND
1
15000
0
0
Twenty-first Century Fox Inc
COM
90130A101
5044
155000
SH
DFND
1
155000
0
0
Union Pacific Corp
COM
907818108
4768
50000
SH
DFND
2
50000
0
0
United Parcel Service Inc
COM
911312106
9691
100000
SH
DFND
1,2
100000
0
0
United Technologies Corp
COM
913017109
13866
125000
SH
DFND
1,2
125000
0
0
Unitedhealth Group Inc
COM
91324P102
1830
15000
SH
DFND
2
15000
0
0
Us Bancorp/mn
COM
902973304
7378
170000
SH
DFND
1,2
170000
0
0
Utilities Select Sector Spdr Fund
ETF
81369Y886
35863
865000
SH
DFND
1,2
865000
0
0
Verizon Communications Inc
COM
92343V104
12119
260000
SH
DFND
1,2
260000
0
0
Visa Inc
COM
92826C839
4700
70000
SH
DFND
2
70000
0
0
Vmware Inc
COM
928563402
1543
18000
SH
DFND
2
18000
0
0
Wal-mart Stores Inc
COM
931142103
14541
205000
SH
DFND
1,2
205000
0
0
Ww Grainger Inc
COM
384802104
2603
11000
SH
DFND
2
11000
0
0
Wynn Resorts Ltd
COM
983134107
5427
55000
SH
DFND
1
55000
0
0
Xilinx Inc
COM
983919101
3754
85000
SH
DFND
1
85000
0
0
Yahoo! Inc
COM
984332106
2357
60000
SH
DFND
2
60000
0
0
Zimmer Holdings Inc
COM
98956P102
2731
25000
SH
DFND
2
25000
0
0