EX-99.1 2 a11-21551_57ex99d1.htm EX-99.1

Exhibit 99.1

 

Validus Holdings, Ltd September 30, 2011 GAAP fixed maturity portfolio in Schedule D format

 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

BRS6U4Y32

 

GRAPHIC PACKAGING INTL LN1 TERM LOAN

 

 

 

 

 

 

 

3

 

4,628,524.00

 

94.375

 

4,529,103.98

 

4,624,460.35

 

4,627,871.90

 

(98,767.92

)

(344.85

)

 

 

0

 

0

 

J-A-J-O

 

 

251.00

 

00/00/0000

 

5/16/2014

 

BRSBH14P6

 

HOUGHTON INTERNATIONAL INC LN1 TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,851,893.81

 

98.667

 

2,797,651.12

 

2,835,447.63

 

2,849,876.30

 

(52,225.18

)

(1,951.05

)

 

 

0

 

-0.115

 

J-A-J-O

 

 

48,581.00

 

9/19/2011

 

1/29/2016

 

BRSBL01Z4

 

PHILLIPS-VAN HEUSEN CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,997,421.87

 

99.265

 

2,963,060.25

 

2,985,000.00

 

2,996,685.44

 

(33,625.19

)

(1,211.22

)

 

 

0

 

-0.083

 

F-M-A-N

 

 

23,287.00

 

6/21/2011

 

5/16/2016

 

BRS9PGR33

 

ARAMARK CORP LOAN TERM

 

 

 

 

 

 

 

3FE

 

3,745,662.69

 

96.609

 

3,745,131.31

 

3,876,586.35

 

3,745,526.37

 

(395.06

)

(136.32

)

 

 

0

 

0.71

 

Jan-Jul

 

 

16,765.00

 

8/19/2011

 

7/26/2016

 

BRSBPKAQ6

 

LESLIES POOLMART INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

3,922,449.75

 

94.333

 

3,763,839.30

 

3,989,949.75

 

3,923,944.28

 

(160,104.98

)

1,494.53

 

 

 

0

 

0.312

 

F-M-A-N

 

 

2,616.00

 

8/12/2011

 

11/21/2016

 

BRSBU8QR8

 

TRANSTAR HOLDING COMPANY LN1 TERM LOAN

 

 

 

 

 

 

 

3FE

 

794,000.00

 

95.875

 

761,247.50

 

794,000.00

 

794,000.00

 

(32,752.50

)

 

 

 

0

 

0.352

 

M-J-S-D

 

 

82,435.00

 

8/12/2011

 

12/21/2016

 

BRSAZTC86

 

COMMUNITY HLTH SYST INC TERM LOAN

 

 

 

 

 

2

 

3FE

 

5,897,299.32

 

90.75

 

5,413,112.17

 

5,964,861.90

 

5,899,966.06

 

(486,853.89

)

2,478.53

 

 

 

0

 

0.202

 

F-M-A-N

 

 

78,665.00

 

6/20/2011

 

1/25/2017

 

BRSBP35C1

 

ATTACHMATE CORP TERM LOAN

 

 

 

 

 

 

 

4FE

 

792,000.00

 

96

 

768,000.00

 

800,000.00

 

792,557.33

 

(24,557.33

)

557.33

 

 

 

0

 

0.175

 

M-J-S-D

 

 

11,844.00

 

2/25/2011

 

2/3/2017

 

BRSBSD3G9

 

CAPITAL AUTOMOTIVE TERM LOAN

 

 

 

 

 

 

 

4FE

 

965,393.62

 

95.188

 

928,221.09

 

975,145.07

 

966,240.43

 

(38,019.34

)

1,083.97

 

 

 

0

 

0.166

 

M-J-S-D

 

 

19,245.00

 

3/10/2011

 

3/11/2017

 

BRS9M4ZE0

 

SOLUTIA INC LN1 TERM LOAN

 

 

 

 

 

 

 

4FE

 

2,873,203.12

 

98.1

 

2,801,105.35

 

2,855,357.14

 

2,871,638.71

 

(70,533.36

)

(2,468.43

)

 

 

0

 

-0.103

 

M-J-S-D

 

 

52,755.00

 

3/1/2011

 

3/17/2017

 

BRSC106K2

 

DELPHI CORP LN1 TERM LOAN

 

 

 

 

 

2

 

1FE

 

853,125.00

 

98.625

 

843,503.29

 

855,263.16

 

853,253.92

 

(9,750.63

)

490.76

 

 

 

0

 

0.042

 

F-M-A-N

 

 

9,875.00

 

5/13/2011

 

3/31/2017

 

BRSC103Q2

 

KAR HOLDINGS TERM LOAN

 

 

 

 

 

1

 

3FE

 

5,657,321.25

 

96.5

 

5,486,748.75

 

5,685,750.00

 

5,658,921.72

 

(172,172.97

)

1,671.72

 

 

 

0

 

0.083

 

F-M-A-N

 

 

71,862.00

 

5/16/2011

 

5/2/2017

 

BRSC4TTL9

 

SENSUS METERING TERM LOAN

 

 

 

 

 

 

 

4FE

 

391,059.88

 

95.85

 

376,714.46

 

393,025.00

 

391,182.02

 

(14,467.56

)

132.02

 

 

 

0

 

0.083

 

F-M-A-N

 

 

4,310.00

 

5/5/2011

 

5/9/2017

 

BRSC5RFN3

 

CHRYSLER GROUP LLC TERM LOAN

 

 

 

 

 

 

 

3FE

 

9,211,487.50

 

86.929

 

8,237,609.36

 

9,476,250.00

 

9,218,390.87

 

(980,781.51

)

7,175.85

 

 

 

0

 

0.478

 

F-M-A-N

 

 

67,807.00

 

8/19/2011

 

5/19/2017

 

BRSCE52V7

 

ALERE INC

 

 

 

 

 

 

 

1Z

 

3,532,250.00

 

96.563

 

3,427,986.50

 

3,550,000.00

 

3,532,747.37

 

(104,760.87

)

497.37

 

 

 

0

 

0.085

 

Jun-Dec

 

 

17,306.00

 

6/30/2011

 

6/30/2017

 

BRSCL92L3

 

OM GROUP INC. TERM LOAN

 

 

 

 

 

 

 

3FE

 

509,850.00

 

99.063

 

510,174.45

 

515,000.00

 

509,978.25

 

196.20

 

128.25

 

 

 

0

 

0.168

 

J-A-J-O

 

 

2,056.00

 

7/28/2011

 

7/5/2017

 

BRSCH2HF0

 

AUTOPARTS HOLDINGS LTD TERM LOAN

 

 

 

 

 

 

 

4FE

 

651,725.00

 

99.5

 

651,725.00

 

655,000.00

 

651,795.91

 

(70.91

)

70.91

 

 

 

0

 

0.084

 

At Mat

 

 

5,440.00

 

7/27/2011

 

7/14/2017

 

BRSBLLNC5

 

REGAL CINEMAS CORP

 

 

 

 

 

1

 

3FE

 

2,764,152.81

 

97

 

2,671,561.88

 

2,754,187.50

 

2,763,341.33

 

(91,779.45

)

(846.17

)

 

 

0

 

-0.057

 

Jan-Jul

 

 

27,457.00

 

2/24/2011

 

7/31/2017

 

BRSBQFU50

 

IMS HEALTH INCORPORATED

 

 

 

 

 

1

 

3FE

 

4,874,132.57

 

97.906

 

4,772,068.23

 

4,874,132.57

 

4,874,132.57

 

(102,064.34

)

 

 

 

0

 

0

 

Feb-Aug

 

 

78,013.00

 

3/10/2011

 

8/26/2017

 

BRSBLZKK9

 

NBTY INC. TERM LOAN

 

 

 

 

 

 

 

3FE

 

3,422,112.89

 

96.705

 

3,366,524.59

 

3,481,231.16

 

3,423,219.37

 

(56,694.78

)

1,126.41

 

 

 

0

 

0.274

 

J-A-J-O

 

 

19,647.00

 

8/17/2011

 

10/1/2017

 

BRS9W7N54

 

MCC IOWA LLC TERM LOAN

 

 

 

 

 

 

 

3FE

 

1,965,100.24

 

95.917

 

1,899,108.53

 

1,979,949.88

 

1,966,320.68

 

(67,212.15

)

1,333.21

 

 

 

0

 

0.112

 

J-A-J-O

 

 

41,579.00

 

12/17/2010

 

10/23/2017

 

BRSC3CCP6

 

MANITOWOC CO INC. TERM LOAN

 

 

 

 

 

 

 

3FE

 

476,406.00

 

96.688

 

462,942.14

 

478,800.00

 

476,541.08

 

(13,598.94

)

141.08

 

 

 

0

 

0.076

 

F-M-A-N

 

 

6,953.00

 

5/9/2011

 

11/30/2017

 

BRSB7CXP1

 

SYNIVERSE HLDGS LN1 TERM LOAN

 

 

 

 

 

 

 

4FE

 

510,939.00

 

98.25

 

507,068.25

 

516,100.00

 

511,454.78

 

(4,386.53

)

554.78

 

 

 

0

 

0.144

 

M-J-S-D

 

 

13,048.00

 

12/21/2010

 

12/15/2017

 

BRSB9FG89

 

ADVANTAGE SALES & MARKETING IN TERM LOAN

 

 

 

 

 

 

 

4FE

 

1,710,771.15

 

96.1

 

1,688,236.69

 

1,756,749.94

 

1,711,158.26

 

(22,921.57

)

407.45

 

 

 

0

 

0.414

 

M-J-S-D

 

 

 

8/15/2011

 

12/18/2017

 

BRSBK2348

 

GYMBOREE CORP TERM LOAN

 

 

 

 

 

1

 

4FE

 

3,666,537.38

 

88.944

 

3,354,556.21

 

3,771,537.38

 

3,668,436.77

 

(313,880.56

)

1,899.39

 

 

 

0

 

0.414

 

F-M-A-N

 

 

61,339.00

 

8/15/2011

 

2/11/2018

 

BRSBLUUU7

 

MICHAEL FOODS INC. TERM LOAN

 

 

 

 

 

 

 

4FE

 

3,304,775.00

 

96.5

 

3,163,776.63

 

3,278,525.00

 

3,302,699.56

 

(138,922.93

)

(2,075.44

)

 

 

0

 

-0.114

 

F-M-A-N

 

 

41,443.00

 

3/2/2011

 

2/14/2018

 

BRSBVKNS1

 

JARDEN CORP TERM LOAN

 

 

 

 

 

 

 

3FE

 

1,990,000.00

 

99.179

 

1,973,662.10

 

1,990,000.00

 

1,990,000.00

 

(16,337.90

)

 

 

 

0

 

0

 

Mar-Sep

 

 

15,585.00

 

3/30/2011

 

3/31/2018

 

BRSC106T3

 

HCA INC Term loan

 

 

 

 

 

 

 

1FE

 

1,992,500.00

 

93.763

 

1,875,260.00

 

2,000,000.00

 

1,993,013.45

 

(117,753.45

)

513.45

 

 

 

0

 

0.052

 

F-M-A-N

 

 

2,000.00

 

3/8/2011

 

5/1/2018

 

BRSC10473

 

AEROFLEX INCORPORATED TERM LOAN

 

 

 

 

 

1

 

4FE

 

4,186,052.50

 

96.188

 

4,029,796.26

 

4,189,500.00

 

4,186,277.70

 

(156,481.44

)

277.70

 

 

 

0

 

0.011

 

F-M-A-N

 

 

40,957.00

 

5/19/2011

 

5/2/2018

 

BRSC3G4F8

 

NEIMAN MARCUS GROUP INC. THE TERM LOAN

 

 

 

 

 

2

 

4FE

 

4,987,500.00

 

92.278

 

4,613,900.00

 

5,000,000.00

 

4,988,140.89

 

(374,240.89

)

640.89

 

 

 

0

 

0.035

 

F-M-A-N

 

 

69,931.00

 

5/10/2011

 

5/18/2018

 

BRSCE52Q8

 

LAWSON SOFTWARE INC.

 

 

 

 

 

 

 

4FE

 

3,062,900.00

 

94.5

 

3,061,800.00

 

3,240,000.00

 

3,066,162.33

 

(4,362.33

)

3,262.33

 

 

 

0

 

0.817

 

Jun-Dec

 

 

19,901.00

 

8/29/2011

 

6/29/2018

 

BRSCDQTK7

 

ASHLAND INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,895,250.00

 

99.125

 

1,883,375.00

 

1,900,000.00

 

1,895,320.13

 

(11,945.13

)

70.13

 

 

 

0

 

0.036

 

M-J-S-D

 

 

5,740.00

 

7/12/2011

 

7/2/2018

 

BRSC9PVC9

 

PENN NTL GAMING INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,542,259.69

 

98.687

 

1,525,824.38

 

1,546,125.00

 

1,542,371.55

 

(16,547.17

)

121.55

 

 

 

0

 

0.035

 

M-J-S-D

 

 

 

6/21/2011

 

7/16/2018

 

BRSCHJ8S5

 

CUMULUS MED INC. TERM LOAN

 

 

 

 

 

1

 

3FE

 

6,090,500.00

 

94.031

 

5,829,922.00

 

6,200,000.00

 

6,090,727.16

 

(260,805.16

)

243.04

 

 

 

0

 

0.26

 

At Mat

 

 

 

9/27/2011

 

7/18/2018

 

BRSCVQWF4

 

SEALED AIR CORPORATION TERM LOAN

 

 

 

 

 

1

 

1

 

539,000.00

 

99.944

 

549,692.00

 

550,000.00

 

539,000.00

 

10,692.00

 

 

 

 

0

 

0.292

 

M-J-S-D

 

 

 

9/23/2011

 

9/15/2018

 

BRSCWX1K1

 

AVIS BUDGET TERM LOAN

 

 

 

 

 

1

 

1

 

588,000.00

 

99.333

 

595,998.00

 

600,000.00

 

588,000.00

 

7,998.00

 

 

 

 

0

 

0.292

 

M-J-S-D

 

 

 

9/21/2011

 

9/20/2018

 

6832348E1

 

ONTARIO PROVINCE CORP BND

 

 

 

A

 

 

 

1FE

 

748,627.50

 

101.504

 

761,279.93

 

750,000.00

 

749,472.77

 

11,807.16

 

342.49

 

 

 

1.875

 

1.938

 

May-Nov

 

5,156.25

 

7,031.00

 

11/10/2009

 

11/19/2012

 

466247E74

 

JPMMT CMO_06-A1 2A2

 

 

 

 

 

2

 

NR*Z*

 

368,378.49

 

86.092

 

316,896.82

 

368,090.90

 

368,264.57

 

(51,367.75

)

(90.99

)

 

 

2.816938

 

2.792

 

Monthly

 

864.07

 

7,900.00

 

2/6/2008

 

2/25/2036

 

00084DAA8

 

ABN AMRO BANK NV CORP BND 144A

 

 

 

F

 

 

 

1FE

 

2,126,805.10

 

98.397

 

2,098,806.28

 

2,133,000.00

 

2,128,069.80

 

(29,263.52

)

2,668.57

 

 

 

3

 

3.104

 

Jan-Jul

 

10,842.75

 

31,817.00

 

2/16/2011

 

1/31/2014

 

00084DAB6

 

ABN AMRO BANK NV CORP BND 144A

 

 

 

F

 

 

 

1FE

 

2,273,000.00

 

95.272

 

2,165,532.63

 

2,273,000.00

 

2,273,000.00

 

(107,467.37

)

 

 

 

2.02285

 

2.074

 

J-A-J-O

 

8,174.11

 

23,112.00

 

1/27/2011

 

1/30/2014

 

00164YAD9

 

AMC NETWORKS INC TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

97

 

 

 

 

 

 

 

 

#N/A

 

0.146

 

#N/A

 

 

13,784.00

 

8/29/2011

 

11/21/2018

 

001957BC2

 

AT&T CO CORP BND

 

 

 

 

 

 

 

1FE

 

445,326.80

 

100.875

 

403,500.00

 

400,000.00

 

402,749.20

 

750.80

 

(18,899.20

)

 

 

7.3

 

1.634

 

May-Nov

 

11,031.11

 

14,600.00

 

10/29/2009

 

11/15/2011

 

00206RAF9

 

AT&T INC CORP BND

 

 

 

 

 

 

 

1FE

 

1,429,901.00

 

104.708

 

1,413,563.56

 

1,350,000.00

 

1,383,974.65

 

29,588.91

 

(19,359.94

)

 

 

4.95

 

2.938

 

Jan-Jul

 

14,107.50

 

66,825.00

 

12/9/2009

 

1/15/2013

 

00206RAQ5

 

AT&T INC CORP BND

 

 

 

 

 

 

 

1FE

 

1,611,715.50

 

107.478

 

1,612,167.09

 

1,500,000.00

 

1,564,948.42

 

47,218.67

 

(19,628.40

)

 

 

4.85

 

2.946

 

Feb-Aug

 

9,295.83

 

72,750.00

 

12/16/2009

 

2/15/2014

 

00206RAT9

 

AT&T INC CORP BND

 

 

 

O

 

 

 

1FE

 

1,287,375.32

 

0

 

1,414,364.26

 

800,000.00

 

1,271,529.60

 

142,834.66

 

(7,784.81

)

 

44,303.14

 

5.875

 

4.657

 

April

 

31,207.08

 

77,646.00

 

3/4/2010

 

4/28/2017

 

00206RAV4

 

AT&T CO CORP BND

 

 

 

 

 

 

 

1FE

 

2,990,820.00

 

102.041

 

3,061,232.07

 

3,000,000.00

 

2,992,863.09

 

68,368.98

 

457.97

 

 

 

2.5

 

2.565

 

Feb-Aug

 

9,583.33

 

78,125.00

 

7/27/2010

 

8/15/2015

 

00206RAW2

 

AT&T INC CORP BND

 

 

 

 

 

 

 

1FE

 

6,694,297.50

 

103.055

 

6,827,420.06

 

6,625,000.00

 

6,689,844.83

 

137,575.23

 

(4,000.33

)

 

 

2.95

 

2.721

 

May-Nov

 

82,518.05

 

 

5/24/2011

 

5/15/2016

 

00209AAG1

 

NEW CINGULAR WIRELESS SERVICES CORP BND

 

 

 

 

 

 

 

1FE

 

12,497,027.75

 

104.141

 

11,429,526.78

 

10,975,000.00

 

11,356,667.71

 

72,859.07

 

(481,581.49

)

 

 

8.125

 

2.101

 

May-Nov

 

371,549.48

 

445,859.00

 

12/22/2009

 

5/1/2012

 

002824AX8

 

ABBOTT LABORATORIES CORP BND

 

 

 

 

 

 

 

1FE

 

2,822,118.50

 

105.165

 

2,970,913.65

 

2,825,000.00

 

2,822,856.21

 

148,057.44

 

413.66

 

 

 

2.7

 

2.722

 

May-Nov

 

26,272.50

 

38,138.00

 

5/24/2010

 

5/27/2015

 

00432CAY7

 

AGSL_03-1 ABS_03-1 A2

 

 

 

 

 

2

 

1FE

 

2,639,154.57

 

99.5

 

2,647,469.48

 

2,660,773.35

 

2,641,942.37

 

5,527.11

 

7,360.32

 

 

 

0.61806

 

1.057

 

M-J-S-D

 

228.41

 

7,353.00

 

3/31/2011

 

12/27/2016

 

00432CAZ4

 

AGSL_03-1 ABS 03-1-2003-1

 

 

 

 

 

2

 

1FE

 

360,500.00

 

84.874

 

339,497.20

 

400,000.00

 

363,670.18

 

(24,172.98

)

1,576.20

 

 

 

1.633

 

2.392

 

Monthly

 

53.69

 

3,643.00

 

3/29/2010

 

12/26/2035

 

00432CBB6

 

AGSL_03-1 ABS_03-1-2003-1

 

 

 

 

 

 

 

1FE

 

311,937.50

 

84.865

 

297,026.80

 

350,000.00

 

313,644.74

 

(16,617.94

)

430.93

 

 

 

1.604

 

2.164

 

April

 

342.90

 

3,112.00

 

3/29/2010

 

12/26/2035

 

00432CBP5

 

AGSL_03-1 ABS_04-1-2004-1

 

 

 

 

 

2

 

1FE

 

435,625.00

 

84

 

420,000.00

 

500,000.00

 

445,783.05

 

(25,783.05

)

4,957.61

 

 

 

1.761

 

3.541

 

Monthly

 

611.46

 

4,469.00

 

3/29/2010

 

12/27/2032

 

00448MAA9

 

ACHMEA HYPOTHEEKBANK N.V. - LT CORP BND

 

 

 

F

 

 

 

1FE

 

2,198,900.00

 

105.64

 

2,324,079.82

 

2,200,000.00

 

2,199,299.86

 

124,779.96

 

(2,404.01

)

 

 

3.2

 

3.211

 

May-Nov

 

28,942.22

 

35,200.00

 

10/26/2009

 

11/3/2014

 

00485CAK3

 

ACOSTA TERM LOAN

 

 

 

 

 

 

 

4FE

 

 

95.25

 

 

 

 

 

 

 

 

#N/A

 

-0.084

 

#N/A

 

 

61,866.00

 

2/23/2011

 

2/3/2018

 

00828EAF6

 

AFRICAN DEVELOPMENT BANK CORP BND

 

 

 

F

 

 

 

??

 

4,752,517.50

 

100.094

 

4,754,464.72

 

4,750,000.00

 

4,750,684.74

 

3,779.98

 

(632.25

)

 

 

0.378

 

0.612

 

J-A-J-O

 

3,541.13

 

14,865.00

 

7/24/2009

 

7/22/2012

 

00828EAJ8

 

AFRICAN DEVELOPMENT BANK CORP BND

 

 

 

F

 

 

 

1FE

 

5,979,360.00

 

101.55

 

6,093,000.18

 

6,000,000.00

 

5,990,521.38

 

102,478.80

 

5,128.92

 

 

 

1.625

 

1.743

 

Feb-Aug

 

13,541.67

 

97,530.00

 

2/2/2010

 

2/11/2013

 

010392EY0

 

ALABAMA POWER COMPANY SENIOR CORP BND

 

 

 

 

 

 

 

1FE

 

13,664,172.75

 

104.781

 

13,516,724.10

 

12,900,000.00

 

13,228,429.22

 

288,294.88

 

(200,363.62

)

 

 

4.85

 

2.682

 

Jun-Dec

 

184,219.18

 

312,825.00

 

2/10/2010

 

12/15/2012

 

01973JAC3

 

ALLISON TRANSMIS LN1 TERM LOAN

 

 

 

 

 

2

 

4

 

 

79.036

 

 

 

 

 

 

 

 

#N/A

 

0.315

 

#N/A

 

 

65,620.00

 

6/20/2011

 

8/7/2014

 

02005AAA6

 

AMOT_10-3 ABS_10-1 A

 

 

 

 

 

2

 

1FE

 

15,919,609.38

 

101.97

 

15,907,320.00

 

15,600,000.00

 

15,857,912.66

 

49,407.34

 

(61,696.72

)

 

 

1.979

 

1.023

 

Monthly

 

13,721.06

 

130,753.00

 

5/11/2011

 

1/15/2015

 

02005HAB9

 

ALLY AUTO RECEIVABLES TRUST AA ABS_10-1

 

 

 

 

 

2

 

1FE

 

1,019,426.13

 

100.47

 

1,016,908.40

 

1,012,151.29

 

1,017,558.31

 

(649.91

)

(3,217.98

)

 

 

1.45

 

0.735

 

Monthly

 

652.28

 

6,115.00

 

5/10/2011

 

3/15/2013

 

02005MAE2

 

ALLYA _10-3 ABS _10-3 A4

 

 

 

 

 

2

 

1FE

 

799,714.32

 

101.445

 

811,562.01

 

800,000.00

 

799,806.29

 

11,755.72

 

63.39

 

 

 

1.55

 

1.566

 

Monthly

 

551.11

 

9,300.00

 

8/12/2010

 

8/17/2015

 

02005RAB7

 

ALLYA_10-5 ABS 10-5 A3

 

 

 

 

 

2

 

1FE

 

4,115,600.66

 

100.458

 

4,138,873.06

 

4,120,000.00

 

4,117,327.95

 

21,545.11

 

1,607.19

 

 

 

1.11

 

1.166

 

Monthly

 

2,032.53

 

34,934.00

 

12/6/2010

 

1/15/2015

 

02005TAD9

 

ALLYA _11-1 ABS_11-1 A4

 

 

 

 

 

2

 

1FE

 

5,999,457.60

 

103.273

 

6,196,362.30

 

6,000,000.00

 

5,999,519.83

 

196,842.47

 

62.23

 

 

 

2.23

 

2.242

 

Monthly

 

5,946.67

 

80,280.00

 

2/4/2011

 

3/15/2016

 

02005VAB8

 

ALLY AUTO RECEIVABLES TRUST ABS 11-2 A2

 

 

 

 

 

2

 

1FE

 

5,899,934.51

 

100.014

 

5,900,802.99

 

5,900,000.00

 

5,899,937.14

 

865.85

 

2.63

 

 

 

0.67

 

0.671

 

Monthly

 

1,756.89

 

14,275.00

 

4/27/2011

 

10/15/2013

 

02005VAC6

 

ALLY AUTO RECEIVABLES TRUST ABS _11-2-A3

 

 

 

 

 

2

 

1FE

 

749,998.28

 

100.622

 

754,662.44

 

750,000.00

 

749,996.67

 

4,665.77

 

(1.61

)

 

 

1.18

 

1.182

 

Monthly

 

393.33

 

3,196.00

 

4/27/2011

 

4/15/2015

 

02005XAC2

 

ALLYA_11-4 ABS_11-4 A3

 

 

 

 

 

2

 

1FE

 

7,369,541.58

 

99.994

 

7,369,541.58

 

7,370,000.00

 

7,369,549.78

 

(8.20

)

8.20

 

 

 

0.79

 

0.794

 

Monthly

 

2,749.42

 

 

9/8/2011

 

9/15/2015

 

02209SAC7

 

ALTRIA GROUP INC. CORP BND

 

 

 

 

 

 

 

2FE

 

11,190,603.00

 

114.349

 

10,805,955.17

 

9,450,000.00

 

10,742,466.09

 

63,489.08

 

(362,694.57

)

 

 

8.5

 

1.855

 

May-Nov

 

314,606.25

 

401,625.00

 

3/22/2011

 

11/10/2013

 

02582JCU2

 

AMERICAN EXPRESS CREDIT ACCOUN ABS 04-2

 

 

 

 

 

2

 

1FE

 

5,007,812.50

 

100.105

 

5,005,250.00

 

5,000,000.00

 

5,007,171.26

 

(1,921.26

)

(641.24

)

 

 

0.399

 

0.345

 

Monthly

 

886.67

 

4,647.00

 

7/1/2011

 

5/15/2014

 

02582JEV8

 

AMXCA ABS 07-8 A

 

 

 

 

 

2

 

1FE

 

5,211,171.88

 

100.24

 

5,212,469.55

 

5,200,000.00

 

5,208,249.10

 

4,220.45

 

(2,922.78

)

 

 

0.529

 

0.379

 

Monthly

 

1,222.58

 

8,718.00

 

5/16/2011

 

10/15/2012

 

02582JFV7

 

AMXCA ABS_09-2 A

 

 

 

 

 

2

 

1FE

 

13,104,761.72

 

103.12

 

13,070,460.00

 

12,675,000.00

 

13,077,312.55

 

(6,852.55

)

(27,449.17

)

 

 

1.479

 

0.384

 

Monthly

 

8,331.70

 

31,584.00

 

7/18/2011

 

8/15/2014

 

02666QF32

 

AMERICAN HONDA FINANCE CORP BND 144A

 

 

 

 

 

 

 

1FE

 

2,124,150.00

 

101.913

 

2,165,655.01

 

2,125,000.00

 

2,124,579.19

 

41,075.82

 

208.62

 

 

 

2.375

 

2.389

 

Mar-Sep

 

1,822.48

 

50,469.00

 

3/9/2010

 

3/18/2013

 

03064RAB3

 

AMCAR_11-4 ABS_11-4 A2

 

 

 

 

 

2

 

1FE

 

3,299,798.04

 

99.945

 

3,298,192.26

 

3,300,000.00

 

3,299,800.61

 

(1,608.35

)

2.57

 

 

 

0.92

 

0.925

 

Monthly

 

927.67

 

 

9/8/2011

 

3/9/2015

 

03073JAL8

 

AMERISTAR CASINOS INC. TERM LOAN

 

 

 

 

 

1

 

3FE

 

 

96.49

 

 

 

 

 

 

 

 

#N/A

 

0.263

 

#N/A

 

 

27,571.00

 

8/15/2011

 

3/29/2018

 

034863AA8

 

ANGLO AMERICAN CAPITAL PLC CORP BND 144A

 

 

 

F

 

 

 

2FE

 

5,570,775.00

 

115.297

 

5,188,350.47

 

4,500,000.00

 

5,287,354.25

 

(99,003.78

)

(225,119.94

)

 

 

9.375

 

2.197

 

Apr-Oct

 

202,734.37

 

210,938.00

 

10/19/2010

 

4/8/2014

 

034863AC4

 

ANGLO AMERICAN CAPITAL PLC CORP BND 144A

 

 

 

F

 

 

 

2FE

 

1,298,908.00

 

99.029

 

1,287,376.49

 

1,300,000.00

 

1,299,268.12

 

(11,891.63

)

266.18

 

 

 

2.15

 

2.179

 

Mar-Sep

 

310.56

 

27,950.00

 

9/20/2010

 

9/27/2013

 

035229CE1

 

ANHEUSER-BUSCH CORP BND

 

 

 

 

 

 

 

1FE

 

1,198,937.20

 

102.981

 

1,148,234.55

 

1,115,000.00

 

1,148,235.50

 

(0.95

)

(50,701.70

)

 

 

7.5

 

0.933

 

Mar-Sep

 

3,716.67

 

83,625.00

 

1/13/2011

 

3/15/2012

 

035229CY7

 

ANHEUSER-BUSCH SENIOR CORP BND

 

 

 

 

 

 

 

1FE

 

5,556,350.00

 

99.717

 

5,550,941.10

 

5,000,000.00

 

5,430,538.82

 

120,402.28

 

(93,902.22

)

 

 

5

 

2.267

 

Jan-Jul

 

52,777.78

 

250,000.00

 

9/23/2010

 

1/15/2015

 

03523TBC1

 

ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND

 

 

 

 

 

 

 

1FE

 

22,250,000.00

 

100.753

 

22,417,542.06

 

22,250,000.00

 

22,250,000.00

 

167,542.06

 

 

 

 

0.8021

 

0.854

 

J-A-J-O

 

32,719.01

 

93,855.00

 

1/24/2011

 

1/27/2014

 

03523TBG2

 

ANHEUSER-BUSCH INBEV WORLDWIDE CORP BND

 

 

 

 

 

 

 

1FE

 

7,821,921.68

 

111.862

 

7,830,353.86

 

7,000,000.00

 

7,704,302.61

 

126,051.25

 

(117,619.07

)

 

 

5.375

 

2.243

 

May-Nov

 

142,138.89

 

188,125.00

 

3/16/2011

 

11/15/2014

 

038461AC3

 

AID-EGYPT GOVT BND

 

 

 

F

 

 

 

1FE

 

1,598,977.50

 

112.878

 

1,693,177.44

 

1,500,000.00

 

1,568,868.27

 

124,309.17

 

(12,028.33

)

 

 

4.45

 

3.205

 

Mar-Sep

 

2,966.67

 

66,750.00

 

11/3/2009

 

9/15/2015

 

03852CAB2

 

ARAMARK CORP TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

96.4

 

 

 

 

 

 

 

 

#N/A

 

-0.086

 

#N/A

 

 

1,245.00

 

3/7/2011

 

1/26/2014

 

039483BA9

 

ARCHER DANIELS MIDLAND CO CORP BND

 

 

 

 

 

 

 

1FE

 

600,000.00

 

100.148

 

600,887.97

 

600,000.00

 

600,000.00

 

887.97

 

 

 

 

0.44617

 

0.472

 

F-M-A-N

 

364.37

 

1,363.00

 

2/9/2011

 

8/13/2012

 

03979GAL9

 

ARDEN REALTY LP SENIOR CORP BND

 

 

 

 

 

1

 

1FE

 

3,226,650.00

 

104.114

 

3,123,419.94

 

3,000,000.00

 

3,201,978.55

 

(78,558.61

)

(24,671.45

)

 

 

5.25

 

3.007

 

Mar-Sep

 

13,125.01

 

78,750.00

 

4/28/2011

 

12/1/2014

 

046353AC2

 

ASTRAZENECA PLC CORP BND

 

 

 

F

 

 

 

1FE

 

5,610,358.32

 

104.611

 

5,492,095.14

 

5,250,000.00

 

5,418,965.65

 

73,129.49

 

(129,670.63

)

 

 

5.4

 

1.984

 

Mar-Sep

 

12,600.00

 

283,500.00

 

11/12/2010

 

9/15/2012

 

04826NAH6

 

ATLANTIC BROADBAND FINANCE LLC TERM LOAN

 

 

 

 

 

1

 

4FE

 

 

94.75

 

 

 

 

 

 

 

 

#N/A

 

0.666

 

#N/A

 

 

14,102.00

 

8/22/2011

 

3/9/2016

 

048825BC6

 

ATLANTIC RICHFIELD COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

3,899,000.82

 

113.983

 

3,441,387.50

 

3,317,000.00

 

3,392,044.73

 

49,342.77

 

(109,322.43

)

 

 

8.5

 

3.887

 

Apr-Oct

 

140,972.50

 

140,973.00

 

1/30/2008

 

4/1/2012

 

049455AB4

 

ATLAS REINSURANCE V LTD CORP BND 144A

 

 

 

 

 

 

 

4FE

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

35,654.00

 

00/00/0000

 

2/24/2012

 

05252AAM3

 

AUSTRALIA AND NEW ZEALAND BANK CORP BND

 

 

 

F

 

 

 

1FE

 

3,992,895.97

 

104.079

 

4,163,148.48

 

4,000,000.00

 

3,995,176.91

 

167,971.57

 

1,023.59

 

 

 

3.7

 

3.739

 

Jan-Jul

 

32,066.67

 

148,000.00

 

2/19/2010

 

1/13/2015

 

05522NAA5

 

BANK OF AMERICA CORP BND 144A

 

 

 

 

 

 

 

1FE

 

5,084,782.57

 

102.987

 

5,149,350.00

 

5,000,000.00

 

5,038,217.48

 

111,132.52

 

(65,520.57

)

 

 

5.5

 

4.381

 

Jun-Dec

 

81,736.11

 

137,500.00

 

11/12/2010

 

6/14/2012

 

05522RAB4

 

BACCT ABS_06 A7 A7

 

 

 

 

 

2

 

1FE

 

9,961,328.13

 

99.636

 

9,963,599.40

 

10,000,000.00

 

9,964,799.17

 

(1,199.77

)

3,471.04

 

 

 

0.269

 

0.395

 

Monthly

 

1,195.56

 

5,971.00

 

6/17/2011

 

12/15/2016

 

05522RBD9

 

BACCT ABS 07-A8 A8

 

 

 

 

 

2

 

1FE

 

2,974,441.60

 

103.495

 

2,954,783.96

 

2,855,000.00

 

2,956,499.02

 

(1,715.06

)

(17,942.58

)

 

 

5.59

 

0.541

 

Monthly

 

7,093.09

 

13,300.00

 

8/11/2011

 

6/15/2012

 

055451AA6

 

BHP BILLITON FINANCE (USA) LTD CORP BND

 

 

 

F

 

 

 

1FE

 

4,163,085.27

 

105.387

 

4,215,468.76

 

4,000,000.00

 

4,104,871.73

 

110,597.03

 

(49,236.49

)

 

 

4.8

 

3.042

 

Apr-Oct

 

88,533.33

 

96,000.00

 

11/12/2010

 

4/15/2013

 

055451AG3

 

BHP BILLITON FINANCE (USA) LTD CORP BND

 

 

 

F

 

 

 

1FE

 

7,503,892.00

 

109.719

 

7,427,980.57

 

6,770,000.00

 

7,237,561.46

 

190,419.11

 

(133,840.27

)

 

 

5.5

 

2.627

 

Apr-Oct

 

186,175.00

 

186,175.00

 

4/16/2010

 

4/1/2014

 

05564UAF7

 

BMW FLOORPLAN MASTER OWNER TRU ABS 09-1A

 

 

 

 

 

2

 

 

 

3,738,156.25

 

100.742

 

3,727,453.89

 

3,700,000.00

 

3,731,647.07

 

(4,193.18

)

(6,509.18

)

 

 

1.379

 

0.947

 

Monthly

 

2,267.69

 

21,222.00

 

4/28/2011

 

9/15/2014

 

05565QBF4

 

BP CAPITAL MARKETS PLC CORP BND

 

 

 

F

 

 

 

1FE

 

10,064,169.75

 

107.605

 

9,910,404.65

 

9,210,000.00

 

9,800,272.61

 

110,132.04

 

(121,904.58

)

 

 

5.25

 

2.112

 

May-Nov

 

193,410.00

 

163,013.00

 

9/26/2011

 

11/7/2013

 

05565QBG2

 

BP CAPITAL MARKETS PLC CORP BND

 

 

 

F

 

 

 

1FE

 

5,024,698.50

 

101.015

 

5,076,024.11

 

5,025,000.00

 

5,024,953.80

 

51,070.31

 

106.77

 

 

 

3.125

 

3.127

 

Mar-Sep

 

9,160.16

 

157,031.00

 

3/5/2009

 

3/10/2012

 

05565QBH0

 

BP CAPITAL MARKETS PLC CORP BND

 

 

 

F

 

 

 

1FE

 

4,556,790.00

 

105.863

 

4,763,842.83

 

4,500,000.00

 

4,542,055.38

 

221,787.45

 

(8,445.12

)

 

 

3.875

 

3.584

 

Mar-Sep

 

10,171.88

 

174,375.00

 

5/27/2010

 

3/10/2015

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

05565QBL1

 

BP CAPITAL MARKETS PLC CORP BND

 

 

 

F

 

 

 

1FE

 

4,318,872.00

 

104.95

 

4,355,418.53

 

4,150,000.00

 

4,267,013.10

 

88,405.43

 

(32,240.98

)

 

 

3.625

 

2.499

 

May-Nov

 

59,757.12

 

75,219.00

 

10/5/2010

 

5/8/2014

 

05565QBN7

 

BP CAPITAL MARKETS PLC CORP BND

 

 

 

F

 

 

 

1FE

 

2,991,480.00

 

103.524

 

3,105,716.16

 

3,000,000.00

 

2,993,077.99

 

112,638.17

 

1,698.16

 

 

 

3.125

 

3.187

 

Apr-Oct

 

46,875.00

 

46,875.00

 

9/28/2010

 

10/1/2015

 

05565QBQ0

 

BP CAPITAL MARKETS PLC CORP BND

 

 

 

F

 

 

 

1FE

 

6,993,560.00

 

103.996

 

7,279,742.05

 

7,000,000.00

 

6,994,225.56

 

285,516.49

 

665.56

 

 

 

3.2

 

3.22

 

Mar-Sep

 

12,444.44

 

112,000.00

 

3/8/2011

 

3/11/2016

 

05565QBS6

 

BP CAPITAL MARKETS PLC CORP BND

 

 

 

F

 

 

 

1FE

 

1,490,000.00

 

100.157

 

1,492,339.27

 

1,490,000.00

 

1,490,000.00

 

2,339.27

 

 

 

 

0.93683

 

0.91

 

M-J-S-D

 

736.71

 

6,738.00

 

3/8/2011

 

3/11/2014

 

055669AD7

 

BMWLT_10-1 ABS_10-1 A4

 

 

 

 

 

2

 

1FE

 

1,019,897.90

 

100.128

 

1,021,308.25

 

1,020,000.00

 

1,019,951.46

 

1,356.79

 

39.14

 

 

 

0.96

 

0.967

 

Monthly

 

435.20

 

7,344.00

 

9/15/2010

 

1/15/2014

 

05745PAB9

 

BAKERCORP TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

96

 

 

 

 

 

 

 

 

#N/A

 

0.072

 

#N/A

 

 

15,167.00

 

5/19/2011

 

5/17/2018

 

05947ULH9

 

BANK OF AMERICA CO CMBS 03-1

 

 

 

 

 

2

 

NR*Z*

 

593,251.92

 

99.989

 

615,107.29

 

615,175.32

 

612,067.13

 

3,040.16

 

12,149.20

 

 

 

3.878

 

5.146

 

Monthly

 

1,988.04

 

17,892.00

 

8/27/2008

 

9/11/2036

 

05948XYC9

 

BOAMS WHOLE CMO 03-J-2A1

 

 

 

 

 

2

 

NR*Z*

 

56,053.47

 

93.39

 

53,107.43

 

56,866.47

 

56,098.40

 

(2,990.97

)

130.81

 

 

 

3.221121

 

3.515

 

Monthly

 

152.64

 

1,374.00

 

11/30/2007

 

11/25/2033

 

05949CED4

 

BANK OF AMERICA MTG SEC CMO_05-G 2A1

 

 

 

 

 

2

 

1FE

 

2,574,054.43

 

66.75

 

2,104,634.67

 

2,610,561.48

 

2,575,787.51

 

(471,152.84

)

4,570.10

 

 

 

2.81714

 

3.079

 

Monthly

 

6,128.60

 

58,873.00

 

10/19/2006

 

8/25/2035

 

06050BAA9

 

BANK OF AMERICA CORP - GTD CORP BND GOVT

 

 

 

 

 

 

 

1FE

 

18,104,062.50

 

102.013

 

18,362,333.71

 

18,000,000.00

 

18,023,776.44

 

338,557.27

 

(24,865.10

)

 

 

3.125

 

2.934

 

Jun-Dec

 

165,625.00

 

281,250.00

 

6/10/2011

 

6/15/2012

 

06050BAG6

 

BANK OF AMERICA CORP - GTD CORP BND GOVT

 

 

 

 

 

 

 

1FE

 

14,921,651.85

 

101.052

 

15,157,729.35

 

15,000,000.00

 

14,985,213.99

 

172,515.36

 

(1,501.55

)

 

 

2.1

 

2.272

 

Apr-Oct

 

132,125.00

 

157,500.00

 

2/25/2009

 

4/30/2012

 

06051GEB1

 

BANK OF AMERICA CORP BND MTN

 

 

 

 

 

 

 

1FE

 

1,546,350.00

 

94.574

 

1,442,260.79

 

1,525,000.00

 

1,542,813.21

 

(100,552.42

)

(3,406.73

)

 

 

4.5

 

4.138

 

Apr-Oct

 

34,312.50

 

34,313.00

 

12/16/2010

 

4/1/2015

 

06051GED7

 

BANK OF AMERICA CORP BND

 

 

 

 

 

 

 

1FE

 

1,505,805.00

 

91.91

 

1,378,643.19

 

1,500,000.00

 

1,505,002.84

 

(126,359.65

)

(5,142.83

)

 

 

3.7

 

3.608

 

Mar-Sep

 

4,625.00

 

57,196.00

 

1/3/2011

 

9/1/2015

 

06051GEG0

 

BANK OF AMERICA CORP BND

 

 

 

 

 

 

 

1FE

 

2,279,595.50

 

90.64

 

2,062,060.34

 

2,275,000.00

 

2,279,372.71

 

(217,312.37

)

(308.44

)

 

 

3.625

 

3.578

 

Mar-Sep

 

3,207.12

 

41,234.00

 

5/24/2011

 

3/17/2016

 

06051GEK1

 

BANK OF AMERICA CORP BND

 

 

 

 

 

 

 

1FE

 

6,077,040.70

 

90.956

 

5,716,564.06

 

6,285,000.00

 

6,079,597.43

 

(363,033.37

)

2,770.06

 

 

 

3.75

 

4.515

 

Jan-Jul

 

51,720.31

 

 

9/21/2011

 

7/12/2016

 

06051GEL9

 

BANK OF AMERICA CORP BND MTN

 

 

 

 

 

 

 

1FE

 

8,000,000.00

 

89.004

 

7,120,319.84

 

8,000,000.00

 

8,000,000.00

 

(879,680.16

)

 

 

 

1.797508

 

1.798

 

J-A-J-O

 

32,355.14

 

 

7/7/2011

 

7/11/2014

 

06052DAC9

 

BAAT_09-1A ABS 09-1A A3 144A

 

 

 

 

 

2

 

1FE

 

781,567.15

 

100.455

 

774,710.45

 

771,204.09

 

773,601.11

 

1,109.34

 

(17,366.39

)

 

 

2.67

 

1.417

 

Monthly

 

915.16

 

15,443.00

 

6/1/2010

 

3/15/2012

 

06052JAC6

 

BAAT_10-1 ABS_10-1A A3 144A

 

 

 

 

 

2

 

1FE

 

4,549,574.59

 

100.35

 

4,571,927.36

 

4,555,981.43

 

4,553,725.15

 

18,202.21

 

4,432.05

 

 

 

1.39

 

1.48

 

Monthly

 

2,814.59

 

47,496.00

 

5/26/2010

 

3/15/2014

 

06052MAC9

 

BAAT ABS_10-2 A3

 

 

 

 

 

2

 

1FE

 

947,141.81

 

100.47

 

951,619.64

 

947,167.95

 

947,157.43

 

4,462.21

 

10.71

 

 

 

1.31

 

1.315

 

Monthly

 

551.46

 

9,306.00

 

6/16/2010

 

7/15/2014

 

06052MAD7

 

BAAT ABS 10-2 A4

 

 

 

 

 

2

 

1FE

 

1,199,768.04

 

102.07

 

1,224,840.00

 

1,200,000.00

 

1,199,853.54

 

24,986.46

 

52.08

 

 

 

1.94

 

1.954

 

Monthly

 

1,034.67

 

17,460.00

 

6/16/2010

 

6/15/2017

 

06366QGN1

 

BANK OF MONTREAL CORP BND

 

 

 

A

 

 

 

1FE

 

9,350,000.00

 

99.943

 

9,344,670.60

 

9,350,000.00

 

9,350,000.00

 

(5,329.40

)

 

 

 

0.72285

 

0.743

 

J-A-J-O

 

12,015.38

 

17,567.00

 

4/26/2011

 

4/29/2014

 

06406HBE8

 

BANK OF NEW YORK CO CORP BND

 

 

 

 

 

 

 

1FE

 

9,050,366.08

 

104.406

 

9,187,758.10

 

8,800,000.00

 

8,908,427.13

 

279,330.97

 

(70,348.27

)

 

 

4.95

 

3.774

 

May-Nov

 

181,500.03

 

217,800.00

 

1/25/2011

 

11/1/2012

 

06406HBQ1

 

BANK OF NEW YORK CO CORP BND MTN

 

 

 

 

 

 

 

1FE

 

2,996,130.00

 

104.479

 

3,134,381.10

 

3,000,000.00

 

2,997,072.74

 

137,308.36

 

552.72

 

 

 

2.95

 

2.978

 

Jun-Dec

 

25,320.84

 

44,250.00

 

6/11/2010

 

6/18/2015

 

06406HBW8

 

BANK OF NEW YORK MELLON/THE CORP BND

 

 

 

 

 

 

 

1FE

 

3,350,000.00

 

99.381

 

3,329,263.40

 

3,350,000.00

 

3,350,000.00

 

(20,736.60

)

 

 

 

0.5226

 

0.523

 

J-A-J-O

 

3,063.74

 

 

7/21/2011

 

7/28/2014

 

064149B97

 

BANK OF NOVA SCOTIA CORP BND

 

 

 

A

 

 

 

1FE

 

2,989,500.00

 

102.546

 

3,076,373.28

 

3,000,000.00

 

2,993,267.70

 

83,105.58

 

2,202.02

 

 

 

2.375

 

2.48

 

Jun-Dec

 

20,583.34

 

35,625.00

 

6/10/2010

 

12/17/2013

 

064149C39

 

BANK OF NOVA SCOTIA CORP BND 144A

 

 

 

A

 

 

 

1FE

 

607,260.00

 

101.022

 

606,132.01

 

600,000.00

 

606,260.28

 

(128.27

)

(999.72

)

 

 

1.45

 

0.87

 

Jan-Jul

 

1,570.84

 

4,350.00

 

6/13/2011

 

7/26/2013

 

06415CAA7

 

BANK OF NOVA SCOTIA CORP BND 144A

 

 

 

A

 

 

 

1FE

 

7,296,569.00

 

101.915

 

7,439,795.07

 

7,300,000.00

 

7,296,673.78

 

143,121.29

 

104.78

 

 

 

2.15

 

2.16

 

Feb-Aug

 

25,286.39

 

 

7/26/2011

 

8/3/2016

 

06423RBC9

 

BOIT ABS 03-A8

 

 

 

 

 

2

 

1FE

 

901,828.13

 

100.236

 

902,127.84

 

900,000.00

 

901,537.44

 

590.40

 

(290.69

)

 

 

0.479

 

0.393

 

Monthly

 

191.60

 

1,356.00

 

5/12/2011

 

9/16/2013

 

064244AA4

 

BANK OF THE WEST/SAN FRANCISCO CORP BND

 

 

 

 

 

 

 

1FE

 

29,969,700.00

 

100.887

 

30,265,963.20

 

30,000,000.00

 

29,994,925.86

 

271,037.34

 

7,630.17

 

 

 

2.15

 

2.185

 

Mar-Sep

 

7,166.67

 

430,000.00

 

3/20/2009

 

3/27/2012

 

06739FFZ9

 

BARCLAYS BANK PLC LOCAL BND

 

 

 

F

 

 

 

1FE

 

528,417.00

 

102.263

 

511,315.96

 

500,000.00

 

517,345.48

 

(6,029.52

)

(49,822.30

)

 

 

5.2

 

3.869

 

Jan-Jul

 

5,850.00

 

26,000.00

 

10/21/2009

 

7/10/2014

 

06739FGP0

 

BARCLAYS BANK PLC CORP BND

 

 

 

F

 

 

 

1FE

 

3,006,193.35

 

99.928

 

2,997,853.32

 

3,000,000.00

 

3,002,894.41

 

(5,041.09

)

(1,979.89

)

 

 

2.5

 

2.425

 

Jan-Jul

 

14,166.67

 

75,000.00

 

2/19/2010

 

1/23/2013

 

067901AF5

 

BARRICK GOLD CORP CORP BND

 

 

 

A

 

 

 

2FE

 

2,747,701.82

 

100.869

 

2,773,908.28

 

2,750,000.00

 

2,747,749.12

 

26,159.16

 

47.30

 

 

 

2.9

 

2.137

 

May-Nov

 

26,583.33

 

 

9/8/2011

 

5/30/2016

 

071813AZ2

 

BAXTER INTERNATIONAL INC CORP BND

 

 

 

 

 

 

 

1FE

 

4,010,640.00

 

106.716

 

4,268,620.60

 

4,000,000.00

 

4,005,400.04

 

263,220.56

 

(1,564.43

)

 

 

4

 

3.941

 

Mar-Sep

 

13,333.34

 

160,000.00

 

2/23/2009

 

3/1/2014

 

071813BB4

 

BAXTER INTERNATIONAL INC CORP BND

 

 

 

 

 

 

 

1FE

 

7,790,874.00

 

101.365

 

7,906,456.75

 

7,800,000.00

 

7,795,538.14

 

110,918.61

 

2,238.36

 

 

 

1.8

 

1.84

 

Mar-Sep

 

6,240.00

 

140,400.00

 

3/4/2010

 

3/15/2013

 

07384M3D2

 

BSARM CMO 04-9 22A1

 

 

 

 

 

2

 

1FE

 

1,275,709.81

 

82.72

 

1,163,743.84

 

1,300,417.74

 

1,276,666.63

 

(112,922.79

)

1,949.36

 

 

 

3.2841

 

3.726

 

Monthly

 

3,558.92

 

34,543.00

 

8/13/2007

 

11/25/2034

 

07384MK27

 

BSARM CMO 04-1 21A1

 

 

 

 

 

2

 

NR*Z*

 

340,969.18

 

86.108

 

298,926.38

 

347,152.85

 

341,353.29

 

(42,426.91

)

1,304.82

 

 

 

2.47307

 

2.818

 

Monthly

 

715.44

 

6,506.00

 

8/10/2007

 

4/25/2034

 

07385TAJ5

 

BEAR STEARNS CO INC CORP BND

 

 

 

 

 

 

 

1FE

 

4,785,719.90

 

108.693

 

4,673,788.55

 

4,300,000.00

 

4,654,838.28

 

18,950.27

 

(80,387.00

)

 

 

5.7

 

2.915

 

May-Nov

 

92,593.33

 

122,550.00

 

7/16/2010

 

11/15/2014

 

07387AAW5

 

BSARM CMO_05-3 2A1

 

 

 

 

 

2

 

NR*Z*

 

1,409,901.24

 

75.518

 

1,084,728.90

 

1,436,384.57

 

1,411,334.37

 

(326,605.47

)

2,735.54

 

 

 

2.70943

 

3.017

 

Monthly

 

3,243.15

 

29,740.00

 

8/10/2007

 

6/25/2035

 

07388GAA9

 

BSABS ABS 06-3-A1

 

 

 

 

 

2

 

NR*Z*

 

132,984.18

 

99.262

 

132,002.49

 

132,984.18

 

132,984.18

 

(981.69

)

 

 

 

0.38456

 

0.385

 

Monthly

 

7.10

 

378.00

 

8/8/2006

 

8/25/2036

 

073928X73

 

BEAR STEARNS CO INC CORP BND MTN

 

 

 

 

 

 

 

1FE

 

2,390,693.25

 

104.113

 

2,420,627.80

 

2,325,000.00

 

2,341,958.21

 

78,669.59

 

(14,153.90

)

 

 

6.95

 

6.064

 

Feb-Aug

 

22,891.55

 

161,588.00

 

3/23/2009

 

8/10/2012

 

079860AG7

 

BELLSOUTH CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

1,257,904.09

 

109.673

 

1,260,138.96

 

1,149,000.00

 

1,238,566.25

 

21,572.71

 

(10,546.88

)

 

 

5.2

 

2.442

 

Mar-Sep

 

2,655.47

 

42,874.00

 

7/6/2011

 

9/15/2014

 

09657MAC2

 

BMWLT_10-1 ABS 10-1 A3

 

 

 

 

 

2

 

1FE

 

999,979.50

 

100.063

 

1,000,625.00

 

1,000,000.00

 

999,992.45

 

632.55

 

7.09

 

 

 

1.39

 

1.395

 

Monthly

 

231.67

 

10,425.00

 

4/15/2010

 

4/25/2014

 

097014AK0

 

BOEING CAPITAL CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

3,023,300.00

 

106.718

 

3,201,530.91

 

3,000,000.00

 

3,015,447.45

 

186,083.46

 

(3,545.60

)

 

 

3.25

 

3.073

 

Apr-Oct

 

41,708.34

 

48,750.00

 

1/28/2010

 

10/27/2014

 

097014AN4

 

BOEING CAPITAL CORPORATION CORP BND

 

 

 

 

 

1

 

1FE

 

2,498,550.00

 

101.275

 

2,531,868.18

 

2,500,000.00

 

2,498,590.73

 

33,277.45

 

40.73

 

 

 

2.125

 

2.137

 

Feb-Aug

 

8,854.17

 

 

7/28/2011

 

8/15/2016

 

097023AT2

 

BOEING CO CORP BND

 

 

 

 

 

 

 

1FE

 

1,404,061.80

 

105.623

 

1,365,897.14

 

1,290,000.00

 

1,347,738.30

 

18,158.84

 

(30,969.09

)

 

 

5.125

 

1.807

 

Feb-Aug

 

8,447.71

 

66,113.00

 

5/12/2010

 

2/15/2013

 

097023BB0

 

BOEING CO CORP BND

 

 

 

 

 

 

 

1FE

 

685,866.90

 

101.379

 

699,515.50

 

690,000.00

 

688,405.53

 

11,109.97

 

1,030.38

 

 

 

1.875

 

2.082

 

May-Nov

 

4,707.82

 

6,469.00

 

11/17/2009

 

11/20/2012

 

10138MAD7

 

BOTTLING GROUP LLC CORP BND

 

 

 

 

 

 

 

1

 

1,530,340.01

 

108.841

 

1,632,615.00

 

1,500,000.00

 

1,521,778.88

 

110,836.12

 

(4,056.35

)

 

 

4.125

 

3.702

 

Jun-Dec

 

18,218.75

 

30,938.00

 

2/19/2010

 

6/15/2015

 

10138MAH8

 

BOTTLING GROUP LLC CORP BND

 

 

 

 

 

 

 

1FE

 

9,826,255.00

 

113.942

 

9,685,072.04

 

8,500,000.00

 

9,168,952.45

 

516,119.59

 

(191,681.26

)

 

 

6.95

 

3.574

 

Mar-Sep

 

26,255.56

 

590,750.00

 

2/5/2009

 

3/15/2014

 

10620NAC2

 

BRHEA_05-2 ABS_05—2 A10

 

 

 

 

 

2

 

1FE

 

4,224,000.00

 

96.595

 

4,250,184.84

 

4,400,000.00

 

4,234,381.86

 

15,802.98

 

10,381.86

 

 

 

0.47806

 

1.506

 

M-J-S-D

 

292.15

 

4,076.00

 

6/29/2011

 

12/26/2019

 

10620NAH1

 

BRHEA_05-3A ABS 05-3 A14

 

 

 

 

 

2

 

1FE

 

2,658,642.25

 

98.921

 

2,669,308.18

 

2,698,424.17

 

2,666,272.84

 

3,035.34

 

16,315.46

 

 

 

0.46806

 

0.759

 

M-J-S-D

 

175.43

 

7,139.00

 

5/26/2011

 

9/25/2023

 

10620NCG1

 

BRHEA_05-2 ABS 11-1 A2

 

 

 

 

 

2

 

1FE

 

3,748,794.81

 

99.046

 

3,763,747.92

 

3,800,000.00

 

3,751,787.67

 

11,960.25

 

2,992.86

 

 

 

1.11178

 

1.275

 

F-M-A-N

 

4,342.12

 

18,088.00

 

3/10/2011

 

2/25/2030

 

10778XAA4

 

BRFKREDIT AS CORP BND 144A

 

 

 

F

 

 

 

1FE

 

12,486,250.00

 

101.607

 

12,700,875.25

 

12,500,000.00

 

12,492,843.51

 

208,031.74

 

3,394.12

 

 

 

2.05

 

2.088

 

Apr-Oct

 

118,159.73

 

128,125.00

 

4/8/2010

 

4/15/2013

 

110122AL2

 

BRISTOL MYERS SQUIBB CO CORP BND

 

 

 

 

 

 

 

1FE

 

7,448,280.00

 

108.048

 

7,563,380.58

 

7,000,000.00

 

7,198,279.71

 

365,100.87

 

(75,755.57

)

 

 

5.25

 

3.67

 

Feb-Aug

 

46,958.34

 

367,500.00

 

3/5/2009

 

8/15/2013

 

1107098W5

 

BRITISH COLUMBIA PROVINCE OF CORP BND

 

 

 

A

 

 

 

1FE

 

10,569,800.00

 

106.552

 

10,655,200.20

 

10,000,000.00

 

10,545,837.50

 

109,362.70

 

(23,962.50

)

 

 

2.85

 

1.335

 

Jun-Dec

 

83,916.67

 

 

7/27/2011

 

6/15/2015

 

1107098Z8

 

BRITISH COLUMBIA PROVINCE OF CORP BND

 

 

 

A

 

 

 

1FE

 

6,998,670.00

 

103.58

 

7,250,600.14

 

7,000,000.00

 

6,998,763.74

 

251,836.40

 

93.74

 

 

 

2.1

 

2.104

 

May-Nov

 

54,308.33

 

 

5/11/2011

 

5/18/2016

 

11102AAB7

 

BRITISH TELECOMMUNICATIONS PLC CORP BND

 

 

 

F

 

 

 

 

 

3,195,390.00

 

104.634

 

3,139,017.78

 

3,000,000.00

 

3,130,861.61

 

8,156.17

 

(64,528.39

)

 

 

5.15

 

1.71

 

Jan-Jul

 

32,616.67

 

77,250.00

 

2/4/2011

 

1/15/2013

 

12543KAB0

 

COMMUNITY HLTH SYST INC TERM LOAN

 

 

 

 

 

2

 

3FE

 

 

89.841

 

 

 

 

 

 

 

 

#N/A

 

0.668

 

#N/A

 

 

1,617.00

 

12/14/2010

 

7/25/2014

 

12543KAD6

 

COMMUNITY HLTH SYST INC TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

93.35

 

 

 

 

 

 

 

 

#N/A

 

0.668

 

#N/A

 

 

31,516.00

 

12/14/2010

 

7/25/2014

 

12622JAB7

 

CPG INTERNATIONAL I INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

95

 

 

 

 

 

 

 

 

#N/A

 

0.083

 

#N/A

 

 

33,163.00

 

2/16/2011

 

2/3/2017

 

126408GB3

 

CSX CORPORATION CORP BND

 

 

 

 

 

 

 

2FE

 

1,905,408.00

 

102.368

 

1,842,615.49

 

1,800,000.00

 

1,843,616.63

 

(1,001.14

)

(61,791.37

)

 

 

6.3

 

0.961

 

Mar-Sep

 

5,040.00

 

113,400.00

 

2/2/2011

 

3/15/2012

 

126650AV2

 

CVS CAREMARK CORP CORP BND

 

 

 

 

 

 

 

2FE

 

5,776,192.50

 

109.803

 

5,764,644.38

 

5,250,000.00

 

5,630,826.75

 

133,817.63

 

(92,019.23

)

 

 

4.875

 

2.321

 

Mar-Sep

 

11,375.00

 

255,938.00

 

8/10/2010

 

9/15/2014

 

12668AZL2

 

CWALT CMO_05-64CB 1A

 

 

 

 

 

2

 

NR*Z*

 

564,471.06

 

92.25

 

530,843.77

 

575,440.40

 

563,870.06

 

(33,026.29

)

5,943.82

 

 

 

5.5

 

5.893

 

Monthly

 

2,637.44

 

23,746.00

 

1/2/2008

 

12/25/2035

 

126802BS5

 

CABMT_10-IA ABS_11-2A A2

 

 

 

 

 

2

 

1FE

 

3,500,000.00

 

99.999

 

3,499,965.04

 

3,500,000.00

 

3,500,000.00

 

(34.96

)

 

 

 

0.829

 

0.83

 

Monthly

 

1,289.56

 

6,102.00

 

6/22/2011

 

6/17/2019

 

12800UAK6

 

CAISSE CENTRALE CORP BND 144A

 

 

 

A

 

 

 

1FE

 

1,495,997.00

 

103.624

 

1,554,360.01

 

1,500,000.00

 

1,496,361.79

 

57,998.22

 

419.20

 

 

 

2.55

 

2.608

 

Mar-Sep

 

743.75

 

19,125.00

 

4/18/2011

 

3/24/2016

 

13134MAW3

 

CALPINE CORPORATION TERM LOAN

 

 

 

 

 

1

 

4FE

 

 

93.931

 

 

 

 

 

 

 

 

#N/A

 

0.24

 

#N/A

 

 

 

8/16/2011

 

3/31/2018

 

135087ZA5

 

CANADA GOVERNMENT GOVT BND

 

 

 

A

 

 

 

1FE

 

695,975.00

 

105.235

 

736,645.01

 

700,000.00

 

697,571.44

 

39,073.57

 

681.63

 

 

 

2.375

 

2.498

 

Mar-Sep

 

969.79

 

16,625.00

 

9/2/2009

 

9/10/2014

 

136069DF5

 

CANADIAN IMPERIAL BK COMRC CORP BND 144A

 

 

 

A

 

 

 

1FE

 

3,684,599.00

 

101.519

 

3,705,443.39

 

3,650,000.00

 

3,677,430.68

 

28,012.71

 

(7,943.94

)

 

 

2

 

1.431

 

Feb-Aug

 

11,558.33

 

56,500.00

 

5/13/2011

 

2/4/2013

 

136069EC1

 

CANADIAN IMPERIAL BK COMRC CORP BND 144A

 

 

 

A

 

 

 

1FE

 

9,987,600.00

 

99.682

 

9,968,199.90

 

10,000,000.00

 

9,987,723.57

 

(19,523.67

)

123.57

 

 

 

0.9

 

0.942

 

Mar-Sep

 

2,750.00

 

 

9/13/2011

 

9/19/2014

 

136375BF8

 

CANADIAN NATIONAL RAILWAY CORP BND

 

 

 

A

 

 

 

1FE

 

437,542.80

 

100.162

 

415,673.33

 

415,000.00

 

415,289.86

 

383.47

 

(5,616.46

)

 

 

6.375

 

4.508

 

Apr-Oct

 

12,199.27

 

13,228.00

 

8/13/2008

 

10/15/2011

 

136375BH4

 

CANADIAN NATIONAL RAILWAY CORP BND

 

 

 

A

 

 

 

1FE

 

325,323.30

 

105.267

 

326,328.19

 

310,000.00

 

316,777.59

 

9,550.60

 

(3,361.98

)

 

 

4.4

 

2.856

 

Mar-Sep

 

606.22

 

13,640.00

 

10/22/2009

 

3/15/2013

 

14041NBY6

 

COMET ABS 05-A1 A1

 

 

 

 

 

2

 

1FE

 

4,021,523.44

 

99.964

 

4,048,541.60

 

4,050,000.00

 

4,042,704.85

 

5,836.75

 

11,948.74

 

 

 

0.299

 

0.691

 

Monthly

 

538.20

 

9,139.00

 

5/28/2010

 

1/15/2015

 

14041NCK5

 

COMET ABS_05-A9 A

 

 

 

 

 

2

 

1FE

 

5,826,577.15

 

98.75

 

5,801,564.73

 

5,875,000.00

 

5,829,648.09

 

(28,083.36

)

3,070.94

 

 

 

0.319

 

0.51

 

Monthly

 

832.94

 

4,259.00

 

6/17/2011

 

8/15/2018

 

14041NDB4

 

COMET ABS 06-A11 A11

 

 

 

 

 

2

 

1FE

 

5,248,035.16

 

98.014

 

5,194,762.19

 

5,300,000.00

 

5,250,790.41

 

(56,028.22

)

2,755.25

 

 

 

0.319

 

0.51

 

Monthly

 

751.42

 

3,841.00

 

6/17/2011

 

6/17/2019

 

14170TAD3

 

CAREFUSION CORP CORP BND

 

 

 

 

 

 

 

2FE

 

1,874,628.00

 

102.511

 

1,845,199.96

 

1,800,000.00

 

1,840,784.05

 

4,415.91

 

(33,843.95

)

 

 

4.125

 

1.383

 

Feb-Aug

 

12,375.00

 

74,250.00

 

1/13/2011

 

8/1/2012

 

14170TAF8

 

CAREFUSION CORP CORP BND

 

 

 

 

 

 

 

2FE

 

6,453,470.60

 

109.22

 

6,400,297.86

 

5,860,000.00

 

6,334,259.97

 

66,037.89

 

(89,543.57

)

 

 

5.125

 

2.164

 

Feb-Aug

 

50,054.17

 

230,625.00

 

9/12/2011

 

8/1/2014

 

141781AP9

 

CARGILL INC CORP BND 144A

 

 

 

 

 

 

 

1FE

 

2,764,425.00

 

103.783

 

2,594,575.00

 

2,500,000.00

 

2,573,537.69

 

21,037.31

 

(81,511.17

)

 

 

6.375

 

1.91

 

Jun-Dec

 

53,125.00

 

79,688.00

 

12/21/2009

 

6/1/2012

 

149123BT7

 

CATERPILLAR INC CORP BND

 

 

 

 

 

 

 

1FE

 

2,160,000.00

 

100.036

 

2,160,772.09

 

2,160,000.00

 

2,160,000.00

 

772.09

 

 

 

 

0.39778

 

0.355

 

F-M-A-N

 

954.67

 

1,853.00

 

5/24/2011

 

11/21/2012

 

149123BU4

 

CATERPILLAR INC CORP BND

 

 

 

 

 

 

 

1FE

 

4,996,200.00

 

100.526

 

5,026,296.25

 

5,000,000.00

 

4,996,629.54

 

29,666.71

 

429.54

 

 

 

1.375

 

1.401

 

May-Nov

 

23,680.56

 

 

5/24/2011

 

5/27/2014

 

14912L3N9

 

CATERPILLAR FINL SERV CORP BND MTN

 

 

 

 

 

 

 

1FE

 

1,124,403.75

 

104.937

 

1,180,537.52

 

1,125,000.00

 

1,124,845.90

 

55,691.62

 

93.23

 

 

 

4.85

 

4.862

 

Jun-Dec

 

17,278.12

 

27,281.00

 

12/3/2007

 

12/7/2012

 

14912L3S8

 

CATERPILLAR FINL SERV CORP BND MTN

 

 

 

 

 

 

 

1FE

 

5,268,195.25

 

100.299

 

5,519,008.21

 

5,275,000.00

 

5,273,015.48

 

245,992.73

 

1,053.08

 

 

 

4.25

 

4.279

 

Feb-Aug

 

33,005.38

 

224,188.00

 

2/4/2008

 

2/8/2013

 

14912L4J7

 

CATERPILLAR FINL SERV CORP BND

 

 

 

 

 

 

 

1FE

 

649,226.50

 

101.5

 

659,748.66

 

650,000.00

 

649,682.67

 

10,065.99

 

192.73

 

 

 

1.9

 

1.941

 

Jun-Dec

 

3,567.78

 

6,175.00

 

12/10/2009

 

12/17/2012

 

14912L4M0

 

CATERPILLAR FINL SERV CORP BND

 

 

 

 

 

 

 

1FE

 

2,000,000.00

 

104.518

 

2,090,357.36

 

2,000,000.00

 

2,000,000.00

 

90,357.36

 

 

 

 

2.75

 

2.75

 

Jun-Dec

 

14,819.44

 

27,500.00

 

11/12/2010

 

6/24/2015

 

14912L4Q1

 

CATERPILLAR FINL SERV CORP BND

 

 

 

 

 

 

 

1FE

 

3,396,226.00

 

101.084

 

3,436,852.61

 

3,400,000.00

 

3,397,192.45

 

39,660.16

 

925.80

 

 

 

1.55

 

1.588

 

Jun-Dec

 

14,785.28

 

26,350.00

 

12/13/2010

 

12/20/2013

 

14912L4U2

 

CATER PILLAR FINANCIAL SERVICE CORP BND

 

 

 

 

 

 

 

1FE

 

4,219,068.00

 

100.173

 

4,207,266.00

 

4,200,000.00

 

4,217,574.76

 

(10,308.76

)

(1,493.24

)

 

 

0.53575

 

0.37

 

J-A-J-O

 

5,750.38

 

 

7/12/2011

 

4/1/2014

 

15131YAC9

 

CENGAGE (THOMSON LEARNING) TL TERM LOAN

 

 

 

 

 

2

 

 

 

 

77.875

 

 

 

 

 

 

 

 

#N/A

 

2.683

 

#N/A

 

 

16,444.00

 

6/20/2011

 

7/3/2014

 

15132EFD5

 

CDMC WHOLE CMO 03-8 2A3

 

 

 

 

 

2

 

1FE

 

250,625.11

 

95.527

 

255,112.01

 

256,393.98

 

254,762.41

 

349.60

 

5,079.29

 

 

 

4.87328

 

6.672

 

Monthly

 

1,041.23

 

9,381.00

 

4/17/2008

 

10/25/2033

 

15200DAB3

 

CENTERPOINT ENERGY INC. ABS_05-A A2

 

 

 

 

 

2

 

1FE

 

248,222.17

 

101.582

 

244,397.08

 

240,590.93

 

242,265.40

 

2,131.68

 

(3,961.72

)

 

 

4.97

 

3.748

 

Feb-Aug

 

1,992.89

 

11,957.00

 

2/8/2008

 

8/1/2012

 

16117LAX7

 

CHARTER COMMUNICATIONS HOLDING TERM LOAN

 

 

 

 

 

2

 

2FE

 

 

96.5

 

 

 

 

 

 

 

 

#N/A

 

0.219

 

#N/A

 

 

20,745.00

 

8/15/2011

 

9/6/2016

 

161571CH5

 

CHAIT ABS_07-A17 A

 

 

 

 

 

2

 

1FE

 

1,413,140.63

 

104.611

 

1,359,943.90

 

1,300,000.00

 

1,351,575.98

 

8,367.92

 

(36,812.83

)

 

 

5.12

 

1.277

 

Monthly

 

2,958.22

 

49,920.00

 

6/23/2010

 

10/15/2012

 

161630AG3

 

CHASE CMO_07-A1-2A1

 

 

 

 

 

2

 

NR*Z*

 

2,538,998.09

 

91.35

 

2,361,062.26

 

2,584,633.02

 

2,540,662.66

 

(179,600.40

)

3,734.75

 

 

 

2.75279

 

3.106

 

Monthly

 

5,929.13

 

54,776.00

 

2/22/2007

 

2/25/2037

 

161630AL2

 

CHASE CMO_07-A1 3A1

 

 

 

 

 

2

 

4FE

 

1,528,816.82

 

83.916

 

1,295,778.48

 

1,544,137.57

 

1,529,349.53

 

(233,571.05

)

2,614.51

 

 

 

2.82064

 

2.995

 

Monthly

 

3,629.55

 

33,511.00

 

5/17/2007

 

2/25/2037

 

161630AQ1

 

CHASE CMO_07-A1 5A1

 

 

 

 

 

2

 

1FE

 

382,535.97

 

83.133

 

329,726.64

 

389,287.65

 

383,129.37

 

(53,402.73

)

926.45

 

 

 

2.755278

 

3.136

 

Monthly

 

893.83

 

8,277.00

 

5/8/2007

 

2/25/2037

 

161630AU2

 

CHASE CMO_07-A1 7A1

 

 

 

 

 

2

 

1FE

 

559,365.60

 

90.4

 

528,813.10

 

568,402.32

 

559,883.12

 

(31,070.02

)

2,597.38

 

 

 

2.75396

 

3.098

 

Monthly

 

1,304.46

 

12,169.00

 

5/17/2007

 

2/25/2037

 

161630BD9

 

CHASE CMO_07-A1 11M1

 

 

 

 

 

2

 

1FE

 

3,741,802.51

 

67.281

 

2,636,128.44

 

3,706,331.72

 

3,739,822.59

 

(1,103,694.15

)

3,698.48

 

 

 

2.51746

 

2.346

 

Monthly

 

7,775.45

 

91,350.00

 

1/18/2008

 

2/25/2037

 

166751AH0

 

CHEVRONTEXACO CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

8,595,814.00

 

107.483

 

8,813,626.74

 

8,200,000.00

 

8,436,851.16

 

376,775.58

 

(69,974.19

)

 

 

3.95

 

2.71

 

Mar-Sep

 

25,192.23

 

323,900.00

 

1/6/2010

 

3/3/2014

 

167562LV7

 

CHICAGO ILL MIDWAY ARPT REV MUNI BND REV

 

 

 

 

 

 

 

1FE

 

3,083,400.00

 

102.598

 

3,077,940.00

 

3,000,000.00

 

3,083,022.34

 

(5,082.34

)

(377.66

)

 

 

3.532

 

3.382

 

Jan-Jul

 

26,490.00

 

 

7/5/2011

 

1/1/2041

 

17275RAG7

 

CISCO SYSTEMS INC CORP BND

 

 

 

 

 

 

 

1FE

 

3,989,840.00

 

105.287

 

4,211,496.88

 

4,000,000.00

 

3,993,472.48

 

218,024.40

 

1,474.62

 

 

 

2.9

 

2.955

 

May-Nov

 

43,177.78

 

58,000.00

 

11/9/2009

 

11/17/2014

 

17275RAJ1

 

CISCO SYSTEMS INC CORP BND

 

 

 

 

 

 

 

1FE

 

509,680.00

 

101.454

 

507,270.47

 

500,000.00

 

509,511.05

 

(2,240.58

)

(168.95

)

 

 

1.625

 

0.84

 

Mar-Sep

 

383.68

 

 

9/12/2011

 

3/14/2014

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

17275RAL6

 

CISCO SYSTEMS INC CORP BND

 

 

 

 

 

 

 

1FE

 

22,325,000.00

 

99.264

 

22,160,688.00

 

22,325,000.00

 

22,325,000.00

 

(164,312.00

)

 

 

 

0.59289

 

0.559

 

M-J-S-D

 

6,250.46

 

59,640.00

 

3/9/2011

 

3/14/2014

 

172967CK5

 

CITIGROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

3,904,747.45

 

103.433

 

4,137,319.64

 

4,000,000.00

 

3,927,256.46

 

210,063.18

 

19,036.96

 

 

 

5.125

 

5.891

 

May-Nov

 

83,138.89

 

102,500.00

 

11/12/2010

 

5/5/2014

 

172967EH0

 

CITIGROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

6,330,537.50

 

106.072

 

6,099,121.49

 

5,750,000.00

 

6,319,379.62

 

(220,258.13

)

(11,157.88

)

 

 

6

 

4.086

 

Feb-Aug

 

44,083.33

 

60,000.00

 

9/1/2011

 

8/15/2017

 

172967EL1

 

CITIBANK N.A. CORP BND

 

 

 

 

 

 

 

1FE

 

520,145.00

 

102.863

 

514,315.00

 

500,000.00

 

507,335.50

 

6,979.50

 

(5,073.56

)

 

 

5.3

 

3.852

 

Apr-Oct

 

12,072.22

 

13,250.00

 

10/22/2009

 

10/17/2012

 

172967EY3

 

CITIGROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

2,395,057.50

 

106.995

 

2,407,383.45

 

2,250,000.00

 

2,344,290.69

 

63,092.76

 

(66,303.13

)

 

 

6.375

 

4.791

 

Feb-Aug

 

19,523.43

 

143,438.00

 

1/6/2010

 

8/12/2014

 

172967EZ0

 

CITIGROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

6,105,220.50

 

104.183

 

5,886,350.63

 

5,650,000.00

 

6,020,845.32

 

(134,494.69

)

(126,238.60

)

 

 

5.5

 

3.215

 

Apr-Oct

 

143,290.28

 

155,375.00

 

1/3/2011

 

10/15/2014

 

172967FA4

 

CITIGROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

8,436,850.00

 

105.976

 

8,478,056.64

 

8,000,000.00

 

8,355,309.74

 

122,746.90

 

(86,736.34

)

 

 

6.01

 

4.532

 

Jun-Dec

 

141,568.89

 

240,400.00

 

2/16/2011

 

1/15/2015

 

172967FD8

 

CITIGROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

8,216,221.50

 

102.339

 

7,931,263.36

 

7,750,000.00

 

8,157,095.00

 

(225,831.64

)

(90,226.06

)

 

 

4.75

 

3.206

 

May-Nov

 

133,659.72

 

120,531.00

 

5/24/2011

 

5/19/2015

 

172967FM8

 

CITIGROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

3,225,000.00

 

98.59

 

3,179,527.37

 

3,225,000.00

 

3,225,000.00

 

(45,472.63

)

 

 

 

1.13617

 

1.16

 

F-M-A-N

 

4,783.75

 

18,335.00

 

2/9/2011

 

2/15/2013

 

17305EDL6

 

CITIBANK CREDIT CARD ISSUANCE ABS_06-A8

 

 

 

 

 

2

 

1FE

 

2,588,682.81

 

98.552

 

2,582,052.65

 

2,620,000.00

 

2,589,909.38

 

(7,856.73

)

1,226.57

 

 

 

0.28925

 

0.501

 

J-A-J-O

 

1,641.98

 

2,106.00

 

7/6/2011

 

12/17/2018

 

17305EEH4

 

CCCIT ABS 08-A5 A5

 

 

 

 

 

2

 

1FE

 

1,608,339.84

 

106.425

 

1,596,378.83

 

1,500,000.00

 

1,600,828.96

 

(4,450.13

)

(7,510.88

)

 

 

4.85

 

0.513

 

Apr-Oct

 

32,131.25

 

 

8/16/2011

 

4/22/2013

 

17313UAA7

 

CITIGROUP INC - GTD CORP BND

 

 

 

 

 

 

 

1FE

 

798,016.00

 

100.491

 

803,928.64

 

800,000.00

 

799,870.70

 

4,057.94

 

508.88

 

 

 

2.875

 

2.962

 

Jun-Dec

 

7,155.56

 

11,500.00

 

12/2/2008

 

12/9/2011

 

17313UAE9

 

CITIGROUP INC - GTD CORP BND GOVT GUAR

 

 

 

 

 

 

 

1FE

 

3,484,373.48

 

101.066

 

3,537,301.11

 

3,500,000.00

 

3,497,050.30

 

40,250.81

 

(59,995.68

)

 

 

2.125

 

2.272

 

Apr-Oct

 

31,196.18

 

37,188.00

 

2/25/2009

 

4/30/2012

 

17313YAL5

 

CITIGROUP FUNDING INC - GTD CORP BND

 

 

 

 

 

 

 

1FE

 

15,058,950.00

 

101.576

 

15,236,399.40

 

15,000,000.00

 

15,021,295.74

 

215,103.66

 

(14,819.88

)

 

 

1.875

 

1.739

 

Apr-Oct

 

124,218.75

 

140,625.00

 

3/8/2011

 

10/22/2012

 

17313YAN1

 

CITIGROUP FUNDING INC - GTD CORP BND

 

 

 

 

 

 

 

1FE

 

13,079,283.56

 

101.656

 

13,215,279.74

 

13,000,000.00

 

13,033,001.59

 

182,278.15

 

(21,664.33

)

 

 

1.875

 

1.646

 

May-Nov

 

92,083.34

 

121,875.00

 

2/19/2010

 

11/15/2012

 

17314AAF9

 

CITIGROUP FUNDING INC - GTD CORP BND

 

 

 

 

 

 

 

1FE

 

6,482,515.00

 

100.645

 

6,541,953.86

 

6,500,000.00

 

6,497,025.90

 

44,927.96

 

4,561.32

 

 

 

2

 

2.093

 

Mar-Sep

 

361.11

 

130,000.00

 

3/23/2009

 

3/30/2012

 

17314JAT0

 

CITIBANK NA CORP BND GOVT GUAR

 

 

 

 

 

 

 

1FE

 

27,378,548.24

 

101.737

 

27,316,384.50

 

26,850,000.00

 

27,225,979.07

 

90,405.43

 

(136,455.16

)

 

 

1.75

 

0.615

 

Jun-Dec

 

121,384.38

 

234,938.00

 

6/7/2011

 

12/28/2012

 

191216AL4

 

COCA-COLA COMPANY THE CORP BND

 

 

 

 

 

 

 

1FE

 

11,572,106.25

 

106.671

 

12,400,478.64

 

11,625,000.00

 

11,597,977.19

 

802,501.45

 

7,724.33

 

 

 

3.625

 

3.725

 

Mar-Sep

 

18,729.18

 

421,406.00

 

3/3/2009

 

3/15/2014

 

191216AN0

 

COCA-COLA COMPANY THE CORP BND

 

 

 

 

 

 

 

1FE

 

2,049,036.50

 

99.991

 

2,049,808.41

 

2,050,000.00

 

2,049,316.16

 

492.25

 

238.36

 

 

 

0.75

 

0.766

 

May-Nov

 

5,808.33

 

7,688.00

 

11/4/2010

 

11/15/2013

 

191216AP5

 

COCA-COLA COMPANY THE CORP BND

 

 

 

 

 

 

 

1FE

 

997,700.00

 

100.8

 

1,008,002.85

 

1,000,000.00

 

998,091.18

 

9,911.67

 

1,022.32

 

 

 

1.5

 

1.548

 

May-Nov

 

5,666.67

 

7,500.00

 

11/4/2010

 

11/15/2015

 

191216AS9

 

COCA-COLA COMPANY THE CORP BND 144A

 

 

 

 

 

 

 

1FE

 

9,959,118.53

 

100.705

 

9,969,792.13

 

9,900,000.00

 

9,957,802.34

 

11,989.79

 

(1,316.19

)

 

 

1.8

 

1.675

 

Mar-Sep

 

25,245.00

 

 

8/19/2011

 

9/1/2016

 

19122TAA7

 

COCA-COLA ENTERPRISES INC. CORP BND

 

 

 

 

 

 

 

2FE

 

5,667,849.50

 

99.731

 

5,659,711.89

 

5,675,000.00

 

5,669,935.65

 

(10,223.76

)

1,887.09

 

 

 

1.125

 

1.168

 

May-Nov

 

24,650.78

 

31,922.00

 

11/8/2010

 

11/12/2013

 

194262AX9

 

COLLE_02-2 ABS 02-2 A21 144A

 

 

 

 

 

2

 

1FE

 

 

0

 

 

 

 

 

1,892.96

 

 

 

#N/A

 

0

 

#N/A

 

 

1,330.00

 

00/00/0000

 

3/1/2042

 

20030NAB7

 

COMCAST CORPORATION CORP BND

 

 

 

 

 

 

 

2FE

 

5,868,400.00

 

113.397

 

5,669,832.25

 

5,000,000.00

 

5,672,298.34

 

(2,466.09

)

(146,728.46

)

 

 

6.5

 

2.235

 

Jan-Jul

 

68,611.12

 

325,000.00

 

9/24/2010

 

1/15/2015

 

20030NAE1

 

COMCAST CORPORATION CORP BND

 

 

 

 

 

 

 

2FE

 

4,178,362.50

 

108.698

 

4,076,178.94

 

3,750,000.00

 

4,039,331.62

 

36,847.32

 

(118,473.27

)

 

 

5.3

 

1.84

 

Jan-Jul

 

41,958.33

 

198,750.00

 

8/10/2010

 

1/15/2014

 

20272BAK0

 

COMMONWEALTH BANK OF AUSTRALIA SENIOR

 

 

 

F

 

 

 

1FE

 

4,611,321.60

 

105.552

 

4,728,729.69

 

4,480,000.00

 

4,590,081.83

 

138,647.86

 

(20,720.47

)

 

 

2.9

 

2.04

 

Mar-Sep

 

5,052.44

 

129,920.00

 

2/22/2011

 

9/17/2014

 

202795HW3

 

COMMONWEALTH EDISON COMPANY CORP BND

 

 

 

 

 

 

 

2FE

 

2,496,375.00

 

100.678

 

2,516,944.50

 

2,500,000.00

 

2,497,211.17

 

19,733.33

 

1,040.28

 

 

 

1.625

 

1.675

 

Jan-Jul

 

8,576.39

 

19,974.00

 

1/10/2011

 

1/15/2014

 

2027A0DG1

 

COMMONWEALTH BANK OF AUSTRALIA CORP BND

 

 

 

F

 

 

 

1FE

 

7,324,340.75

 

101.383

 

7,426,278.16

 

7,325,000.00

 

7,324,765.76

 

101,512.40

 

164.48

 

 

 

2.75

 

2.753

 

Apr-Oct

 

92,885.06

 

100,719.00

 

10/8/2009

 

10/15/2012

 

2027A0EM7

 

COMMONWEALTH BANK OF AUSTRALIA CORP BND

 

 

 

F

 

 

 

1FE

 

1,991,660.00

 

103.133

 

2,062,652.90

 

2,000,000.00

 

1,994,048.87

 

68,604.03

 

1,185.57

 

 

 

3.5

 

3.592

 

Mar-Sep

 

2,333.33

 

70,000.00

 

3/15/2010

 

3/19/2015

 

2027A0FP9

 

COMMONWEALTH BANK OF AUSTRALIA CORP BND

 

 

 

F

 

 

 

1FE

 

15,429,116.00

 

99.41

 

15,333,993.12

 

15,425,000.00

 

15,428,798.44

 

(94,805.32

)

(317.56

)

 

 

1.08022

 

1.009

 

M-J-S-D

 

5,554.13

 

67,216.00

 

7/12/2011

 

3/17/2014

 

20337EAF8

 

COMMSCOPE INC. TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

97.938

 

 

 

 

 

 

 

 

#N/A

 

0.071

 

#N/A

 

 

7,664.00

 

1/13/2011

 

1/6/2018

 

204279AA1

 

CIE FIN FONC CORP BND 144A

 

 

 

F

 

 

 

1FE

 

5,461,398.00

 

99.872

 

5,393,088.11

 

5,400,000.00

 

5,445,338.70

 

(52,250.59

)

(38,526.98

)

 

 

2.125

 

1.577

 

Apr-Oct

 

50,681.25

 

57,375.00

 

3/4/2011

 

4/22/2013

 

20825CAE4

 

CONOCOPHILLIPS CORP BND

 

 

 

 

 

 

 

1FE

 

1,062,372.20

 

104.073

 

1,040,734.79

 

1,000,000.00

 

1,033,858.06

 

6,876.73

 

(64,106.15

)

 

 

4.75

 

1.452

 

Apr-Oct

 

21,902.78

 

23,750.00

 

11/12/2010

 

10/15/2012

 

20825CAM6

 

CONOCOPHILLIPS CORP BND

 

 

 

 

 

 

 

1FE

 

3,862,918.25

 

103.014

 

3,778,744.33

 

3,575,000.00

 

3,743,175.39

 

35,568.94

 

(76,385.28

)

 

 

4.4

 

1.452

 

May-Nov

 

59,424.44

 

78,650.00

 

11/3/2010

 

5/15/2013

 

20825CAT1

 

CONOCOPHILLIPS CORP BND

 

 

 

 

 

 

 

1FE

 

6,767,478.00

 

109.741

 

7,188,050.85

 

6,550,000.00

 

6,697,915.86

 

490,134.99

 

(31,810.88

)

 

 

4.6

 

3.854

 

Jan-Jul

 

63,607.78

 

301,300.00

 

1/27/2010

 

1/15/2015

 

209111EW9

 

CONSOLIDATED EDISON CO OF NY CORP BND

 

 

 

 

 

 

 

1FE

 

436,497.60

 

110.752

 

443,009.12

 

400,000.00

 

421,301.90

 

21,707.22

 

(6,026.66

)

 

 

5.55

 

3.313

 

Apr-Oct

 

11,100.00

 

11,100.00

 

10/29/2009

 

4/1/2014

 

21685WBL0

 

RABOBANK NEDERLAND UTRECHT CORP BND MTN

 

 

 

F

 

 

 

1FE

 

3,421,596.50

 

99.712

 

3,420,127.81

 

3,430,000.00

 

3,423,152.19

 

(3,024.38

)

1,204.04

 

 

 

2.125

 

2.177

 

Apr-Oct

 

34,014.17

 

36,444.00

 

10/5/2010

 

10/13/2015

 

21685WCY1

 

RABOBANK NEDERLAND NV CORP BND

 

 

 

F

 

 

 

1FE

 

7,660,000.00

 

99.458

 

7,618,482.80

 

7,660,000.00

 

7,660,000.00

 

(41,517.20

)

 

 

 

0.4521

 

0.452

 

J-A-J-O

 

6,348.99

 

 

7/20/2011

 

7/25/2013

 

22238HGQ7

 

COUNTRYWIDE FINANCIAL CORP CORP BND MTn

 

 

 

 

 

 

 

1FE

 

212,574.00

 

100.177

 

200,353.89

 

200,000.00

 

203,410.51

 

(3,056.62

)

(3,658.04

)

 

 

5.8

 

3.252

 

Jun-Dec

 

3,673.33

 

5,800.00

 

10/29/2009

 

6/7/2012

 

22540VC75

 

WAMU 2001-ARS 1A CMBS_02-CKP1 A3

 

 

 

 

 

2

 

NR*Z*

 

2,596,157.53

 

100.908

 

2,524,145.85

 

2,501,440.28

 

2,520,810.95

 

3,334.90

 

(38,488.79

)

 

 

6.439

 

5.409

 

Monthly

 

13,422.32

 

120,801.00

 

12/18/2007

 

8/15/2013

 

22541LAB9

 

CREDIT SUISSE FIRST BOSTON CORP BND

 

 

 

 

 

 

 

1FE

 

5,561,372.50

 

100.457

 

5,479,952.97

 

5,455,000.00

 

5,458,347.69

 

21,605.28

 

(20,198.08

)

 

 

6.125

 

5.609

 

May-Nov

 

126,222.64

 

167,059.00

 

7/11/2007

 

11/15/2011

 

22546QAA5

 

CREDIT SUISSE GROUP CORP BND

 

 

 

F

 

 

 

1FE

 

2,186,460.00

 

105.852

 

2,117,047.72

 

2,000,000.00

 

2,124,851.68

 

(7,803.96

)

(34,355.95

)

 

 

5.5

 

2.972

 

May-Nov

 

45,833.33

 

55,000.00

 

5/19/2010

 

5/1/2014

 

22546QAE7

 

CREDIT SUISSE FIRST BOSTON CORP BND

 

 

 

F

 

 

 

1FE

 

1,996,820.00

 

99.838

 

1,996,750.64

 

2,000,000.00

 

1,997,729.81

 

(979.17

)

1,611.81

 

 

 

3.5

 

3.535

 

Mar-Sep

 

1,555.56

 

70,000.00

 

3/18/2010

 

3/23/2015

 

22546QAG2

 

CREDIT SUISSE NEW YORK NY CORP BND

 

 

 

F

 

 

 

1FE

 

5,800,000.00

 

98.117

 

5,690,785.83

 

5,800,000.00

 

5,800,000.00

 

(109,214.17

)

 

 

 

1.209

 

1.263

 

J-A-J-O

 

15,387.88

 

36,506.00

 

1/11/2011

 

1/14/2014

 

22546QAH0

 

CREDIT SUISSE NEW YORK NY CORP BND

 

 

 

 

 

 

 

1FE

 

1,997,580.00

 

97.976

 

1,959,526.98

 

2,000,000.00

 

1,998,142.45

 

(38,615.47

)

562.45

 

 

 

2.2

 

2.242

 

Jan-Jul

 

9,411.11

 

22,000.00

 

1/11/2011

 

1/14/2014

 

233851AC8

 

DAIMLER FINANCE NORTH AMERICA CORP BND

 

 

 

 

 

 

 

2FE

 

7,500,000.00

 

100.01

 

7,500,750.15

 

7,500,000.00

 

7,500,000.00

 

750.15

 

 

 

 

0.97278

 

0.919

 

M-J-S-D

 

599.66

 

34,016.00

 

3/21/2011

 

3/28/2014

 

233851AH7

 

DAIMLER FINANCE NORTH AMERICA CORP BND

 

 

 

 

 

 

 

1FE

 

6,954,500.00

 

97.339

 

6,813,736.72

 

7,000,000.00

 

6,954,896.22

 

(141,159.50

)

396.22

 

 

 

2.625

 

2.765

 

Mar-Sep

 

8,677.08

 

 

9/7/2011

 

9/15/2016

 

235851AJ1

 

DANAHER CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

3,900,000.00

 

100.195

 

3,907,605.00

 

3,900,000.00

 

3,900,000.00

 

7,605.00

 

 

 

 

0.6025

 

0.496

 

M-J-S-D

 

652.71

 

4,831.00

 

6/20/2011

 

6/21/2013

 

235851AL6

 

DANAHER CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

3,993,600.00

 

102.944

 

4,117,760.32

 

4,000,000.00

 

3,993,931.75

 

123,828.57

 

331.75

 

 

 

2.3

 

2.334

 

Jun-Dec

 

25,044.45

 

 

6/20/2011

 

6/23/2016

 

23636UAA5

 

DANSKE BANK A/S CORP BND GOVT GUAR 144A

 

 

 

F

 

 

 

1FE

 

3,245,222.50

 

101.134

 

3,286,854.39

 

3,250,000.00

 

3,248,944.05

 

37,910.34

 

2,511.62

 

 

 

2.5

 

2.554

 

May-Nov

 

31,822.92

 

40,625.00

 

6/23/2009

 

5/10/2012

 

239753BK1

 

TARGET CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

580,657.40

 

112.803

 

542,134.16

 

530,000.00

 

534,771.76

 

7,362.40

 

(12,174.56

)

 

 

8.6

 

5.39

 

Jan-Jul

 

9,622.44

 

45,580.00

 

9/24/2008

 

1/15/2012

 

24422EQM4

 

JOHN DEERE CAPITAL CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

3,933,035.75

 

105.172

 

4,128,020.36

 

3,925,000.00

 

3,927,480.24

 

200,540.12

 

(1,467.71

)

 

 

4.95

 

4.896

 

Jun-Dec

 

56,127.50

 

97,144.00

 

7/24/2008

 

12/17/2012

 

24422EQY8

 

JOHN DEERE CAPITAL CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

1,123,807.50

 

105.359

 

1,185,285.59

 

1,125,000.00

 

1,124,161.96

 

61,123.63

 

170.62

 

 

 

2.95

 

2.973

 

Mar-Sep

 

2,028.13

 

33,188.00

 

3/3/2010

 

3/9/2015

 

24422ERD3

 

JOHN DEERE CAPITAL CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

1,900,780.90

 

99.714

 

1,894,565.94

 

1,900,000.00

 

1,900,695.04

 

(6,129.10

)

(85.86

)

 

 

0.39925

 

0.328

 

J-A-J-O

 

1,643.58

 

698.00

 

7/7/2011

 

7/15/2013

 

24521QAB8

 

DEL MONTE FOODS CO TERM LOAN

 

 

 

 

 

1

 

3FE

 

 

92.75

 

 

 

 

 

 

 

 

#N/A

 

0.079

 

#N/A

 

 

85,637.00

 

8/29/2011

 

2/1/2018

 

24702RAP6

 

DELL INC CORP BND

 

 

 

 

 

 

 

1FE

 

6,668,948.00

 

102.325

 

6,702,279.83

 

6,550,000.00

 

6,661,133.37

 

41,146.46

 

(7,814.63

)

 

 

3.1

 

2.697

 

Apr-Oct

 

102,089.03

 

 

5/24/2011

 

4/1/2016

 

24736CAR5

 

DELTA AIR LINES INC. TERM LOAN

 

 

 

 

 

1

 

3FE

 

 

94.125

 

 

 

 

 

 

 

 

#N/A

 

0.222

 

#N/A

 

 

48,369.00

 

5/13/2011

 

4/20/2017

 

2515A0T45

 

DEUTSCHE BK LDN CORP BND

 

 

 

F

 

 

 

1FE

 

999,020.00

 

0

 

994,005.81

 

1,000,000.00

 

999,574.41

 

(5,568.60

)

244.25

 

 

 

2.375

 

2.409

 

Jan-Jul

 

5,277.78

 

23,750.00

 

1/5/2010

 

1/11/2013

 

25459HAV7

 

DIRECTV HOLDINGS LL/DIR TV FIN CORP BND

 

 

 

 

 

 

 

2FE

 

3,569,208.75

 

102.363

 

3,608,309.15

 

3,525,000.00

 

3,561,838.96

 

46,470.19

 

(6,342.55

)

 

 

3.125

 

2.868

 

Feb-Aug

 

14,075.52

 

109,544.00

 

10/15/2010

 

2/15/2016

 

25459HAY1

 

DIRECTV HOLDINGS LLC/DIRECTV F SENIOR

 

 

 

 

 

 

 

2FE

 

8,223,680.00

 

103.943

 

8,315,479.12

 

8,000,000.00

 

8,216,182.78

 

99,296.34

 

(7,452.89

)

 

 

3.5

 

2.84

 

Mar-Sep

 

23,333.33

 

133,000.00

 

7/26/2011

 

3/1/2016

 

254683AQ8

 

DCENT ABS_11-2A A

 

 

 

 

 

2

 

1FE

 

1,400,000.00

 

100.049

 

1,400,683.48

 

1,400,000.00

 

1,400,000.00

 

683.48

 

 

 

 

0.439

 

0.439

 

Monthly

 

273.16

 

1,572.00

 

5/26/2011

 

11/16/2015

 

25600WAA8

 

DNB NOR BLGKRDIT CORP BND 144A

 

 

 

F

 

 

 

1FE

 

16,321,151.51

 

101.026

 

16,366,212.16

 

16,200,000.00

 

16,298,580.95

 

67,631.21

 

(18,992.87

)

 

 

2.1

 

1.942

 

Apr-Oct

 

157,815.00

 

139,650.00

 

7/26/2011

 

10/14/2015

 

25600WAB6

 

DNB NOR BLGKRDIT CORP BND 144A

 

 

 

F

 

 

 

1FE

 

8,389,920.00

 

103.952

 

8,731,968.25

 

8,400,000.00

 

8,390,873.93

 

341,094.32

 

1,017.53

 

 

 

2.9

 

2.926

 

Mar-Sep

 

1,353.33

 

121,800.00

 

3/22/2011

 

3/29/2016

 

256604AR0

 

DOLE FOOD CO INC. TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

98.313

 

 

 

 

 

 

 

 

#N/A

 

0.108

 

#N/A

 

 

9,186.00

 

6/27/2011

 

6/27/2018

 

256604AS8

 

DOLE FOOD CO INC. TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

98.313

 

 

 

 

 

 

 

 

#N/A

 

0.108

 

#N/A

 

 

7,349.00

 

6/27/2011

 

6/27/2018

 

25746UBJ7

 

DOMINION RESOURCES INC CORP BND

 

 

 

 

 

 

 

2FE

 

3,857,214.50

 

101.694

 

4,016,922.95

 

3,950,000.00

 

3,868,218.71

 

148,704.24

 

11,004.21

 

 

 

2.25

 

2.812

 

Mar-Sep

 

7,406.25

 

44,438.00

 

3/4/2011

 

9/1/2015

 

25746UBK4

 

DOMINION RESOURCES INC CORP BND

 

 

 

 

 

 

 

2FE

 

1,424,202.00

 

101.027

 

1,439,635.73

 

1,425,000.00

 

1,424,350.42

 

15,285.31

 

159.29

 

 

 

1.8

 

1.819

 

Mar-Sep

 

1,140.00

 

13,395.00

 

3/2/2011

 

3/15/2014

 

26138EAM1

 

DR PEPPER SNAPPLE GROUP INC CORP BND

 

 

 

 

 

 

 

2FE

 

4,919,533.25

 

103.68

 

5,106,253.15

 

4,925,000.00

 

4,920,284.80

 

185,968.35

 

849.08

 

 

 

2.9

 

2.924

 

Jan-Jul

 

30,151.94

 

72,999.00

 

1/6/2011

 

1/15/2016

 

26225KAC3

 

GOLDEN LIVING LN1 TERM LOAN

 

 

 

 

 

1

 

3FE

 

 

87.25

 

 

 

 

 

 

 

 

#N/A

 

0.204

 

#N/A

 

 

56,871.00

 

5/16/2011

 

4/26/2018

 

263534BU2

 

EI DUPONT DE NEMOURS & CO CORP BND

 

 

 

 

 

 

 

1FE

 

9,363,568.00

 

107.065

 

9,609,064.10

 

8,975,000.00

 

9,179,326.19

 

429,737.91

 

(83,500.84

)

 

 

5

 

3.66

 

Jan-Jul

 

94,736.11

 

448,750.00

 

12/21/2009

 

7/15/2013

 

263534CH0

 

EI DUPONT DE NEMOURS & CO CORP BND

 

 

 

 

 

 

 

1FE

 

10,912,882.40

 

100.305

 

10,933,245.00

 

10,900,000.00

 

10,911,544.13

 

21,700.87

 

(2,755.73

)

 

 

0.77806

 

0.685

 

M-J-S-D

 

1,177.90

 

38,606.00

 

6/20/2011

 

3/25/2014

 

26442EAB6

 

DUKE ENERGY OHIO INC CORP BND

 

 

 

 

 

 

 

1FE

 

9,123,448.75

 

101.507

 

9,262,484.82

 

9,125,000.00

 

9,124,226.54

 

138,258.28

 

331.19

 

 

 

2.1

 

2.105

 

Jun-Dec

 

56,422.92

 

95,813.00

 

12/14/2009

 

6/15/2013

 

268317AA2

 

ELECTRICITE DE FRANCE CORP BND 144A

 

 

 

F

 

 

 

1FE

 

14,880,439.77

 

106.895

 

14,537,783.92

 

13,600,000.00

 

14,359,263.42

 

178,520.50

 

(234,951.95

)

 

 

5.5

 

2.988

 

Jan-Jul

 

135,055.56

 

748,000.00

 

2/19/2010

 

1/26/2014

 

26882PAS1

 

ERAC USA FINANCE COMPANY CORP BND 144A

 

 

 

 

 

 

 

2FE

 

1,640,475.00

 

111.469

 

1,672,041.66

 

1,500,000.00

 

1,604,604.53

 

67,437.13

 

(20,205.66

)

 

 

5.6

 

3.512

 

May-Nov

 

35,000.00

 

42,000.00

 

5/27/2010

 

5/1/2015

 

26884TAC6

 

ERAC USA FINANCE COMPANY CORP BND 144A

 

 

 

 

 

 

 

2FE

 

1,247,587.50

 

100.834

 

1,260,428.71

 

1,250,000.00

 

1,248,154.61

 

12,274.10

 

1,086.14

 

 

 

2.25

 

2.317

 

Jan-Jul

 

6,250.00

 

13,984.00

 

1/4/2011

 

1/10/2014

 

273323AA3

 

EAST LANE RE LTD CORP BND

 

 

 

F

 

 

 

2FE

 

5,000,000.00

 

101.455

 

5,072,750.00

 

5,000,000.00

 

5,000,000.00

 

72,750.00

 

 

 

 

5.7525

 

5.912

 

M-J-S-D

 

12,783.33

 

153,333.00

 

3/1/2011

 

3/14/2014

 

273323AB1

 

EAST LANE RE IV LTD CORP BND 144A

 

 

 

F

 

 

 

??

 

2,000,000.00

 

101.875

 

2,037,500.00

 

2,000,000.00

 

2,000,000.00

 

37,500.00

 

 

 

 

6.6525

 

6.704

 

M-J-S-D

 

5,913.33

 

70,933.00

 

3/1/2011

 

3/13/2015

 

278642AA1

 

EBAY INC. CORP BND

 

 

 

 

 

 

 

1FE

 

2,993,790.00

 

99.739

 

2,992,183.47

 

3,000,000.00

 

2,995,709.54

 

(3,526.07

)

1,550.78

 

 

 

0.875

 

0.946

 

Apr-Oct

 

12,104.17

 

12,177.00

 

10/21/2010

 

10/15/2013

 

278642AB9

 

EBAY INC. CORP BND

 

 

 

 

 

 

 

1FE

 

3,586,680.00

 

99.709

 

3,589,513.27

 

3,600,000.00

 

3,589,073.17

 

440.10

 

2,133.30

 

 

 

1.625

 

1.703

 

Apr-Oct

 

26,975.00

 

27,138.00

 

10/21/2010

 

10/15/2015

 

281379AA5

 

EDUSA_10-1 ABS 10-1-A1 144A

 

 

 

 

 

2

 

1FE

 

902,196.17

 

99.938

 

901,640.33

 

902,196.17

 

902,196.17

 

(555.84

)

 

 

 

1.103

 

1.104

 

J-A-J-O

 

1,879.68

 

7,788.00

 

2/23/2010

 

7/25/2023

 

28264QR63

 

EKSPORTFINANS A/S CORP BND

 

 

 

F

 

 

 

1FE

 

2,127,609.17

 

105.451

 

2,109,019.92

 

2,000,000.00

 

2,100,022.78

 

8,997.14

 

(26,516.23

)

 

 

3

 

1.361

 

May-Nov

 

22,333.33

 

30,000.00

 

11/12/2010

 

11/17/2014

 

285661AD6

 

ELECTRONIC DATA SYSTEMS CORP BND

 

 

 

 

 

 

 

1FE

 

9,874,595.25

 

108.002

 

9,477,180.06

 

8,775,000.00

 

9,406,346.79

 

70,833.27

 

(251,777.96

)

 

 

6

 

1.985

 

Feb-Aug

 

87,750.00

 

526,500.00

 

4/30/2010

 

8/1/2013

 

291011AZ7

 

EMERSON ELECTRIC CO CORP BND

 

 

 

 

 

 

 

1

 

3,276,666.54

 

98.81

 

3,494,247.55

 

3,200,000.00

 

3,262,294.89

 

231,952.66

 

(12,166.68

)

 

 

4.125

 

3.535

 

Apr-Oct

 

60,866.67

 

66,000.00

 

11/12/2010

 

4/15/2015

 

29101QAD1

 

EMERGENCY MEDICAL SVCS CORP TERM LOAN

 

 

 

 

 

1

 

4FE

 

 

94.972

 

 

 

 

 

 

 

 

#N/A

 

0.057

 

#N/A

 

 

53,963.00

 

6/20/2011

 

4/27/2018

 

29268BAD3

 

ENEL FINANCE INTERNATIONAL SA CORP BND

 

 

 

F

 

 

 

1FE

 

3,268,698.75

 

96.958

 

3,126,896.00

 

3,225,000.00

 

3,255,017.07

 

(128,121.07

)

(6,949.39

)

 

 

3.875

 

3.547

 

Apr-Oct

 

60,401.57

 

62,484.00

 

3/30/2010

 

10/7/2014

 

29364NAQ1

 

ENTERGY MISSISSIPPI INC CORP BND

 

 

 

 

 

1

 

2FE

 

1,999,700.00

 

100.651

 

2,013,020.00

 

2,000,000.00

 

1,999,737.27

 

13,282.73

 

37.27

 

 

 

3.25

 

3.253

 

Jun-Dec

 

24,916.67

 

 

5/10/2011

 

6/1/2016

 

293791AN9

 

ENTERPRISE PROD OPER LP CORP BND

 

 

 

 

 

 

 

2FE

 

6,442,930.00

 

110.024

 

6,326,371.78

 

5,750,000.00

 

6,270,282.25

 

56,089.53

 

(122,077.27

)

 

 

5.6

 

2.488

 

Apr-Oct

 

148,477.77

 

161,000.00

 

10/15/2010

 

10/15/2014

 

298785EK8

 

EUROPEAN INVESTMENT BANK SENIOR CORP BND

 

 

 

F

 

 

 

1FE

 

15,069,850.00

 

103.396

 

14,992,419.42

 

14,500,000.00

 

14,947,478.85

 

44,940.57

 

(122,371.15

)

 

 

2.875

 

0.74

 

Mar-Sep

 

18,527.78

 

208,438.00

 

6/14/2011

 

3/15/2013

 

298785ES1

 

EUROPEAN INVESTMENT BANK CORP BND

 

 

 

F

 

 

 

1FE

 

3,887,520.00

 

103.717

 

3,902,776.92

 

3,900,000.00

 

3,899,850.27

 

2,926.65

 

3,131.06

 

 

 

3.25

 

3.36

 

Apr-Oct

 

58,797.92

 

63,375.00

 

8/26/2008

 

10/14/2011

 

298785FP6

 

EUROPEAN INVESTMENT BANK CORP BND

 

 

 

F

 

 

 

1FE

 

8,124,800.00

 

102.028

 

8,162,240.00

 

8,000,000.00

 

8,111,156.65

 

51,083.35

 

(13,643.35

)

 

 

1.5

 

0.962

 

May-Nov

 

56,000.00

 

 

6/1/2011

 

5/15/2014

 

30250GAA6

 

SSGN_10-S1 CMO_10-S1-1A 144A

 

 

 

 

 

2

 

1

 

1,266,169.80

 

100

 

1,266,169.80

 

1,266,169.80

 

1,266,169.80

 

 

 

 

 

0.78889

 

0.79

 

Monthly

 

27.74

 

8,263.00

 

3/5/2010

 

2/25/2048

 

302570BC9

 

FPL GROUP CAPITAL INC CORP BND

 

 

 

 

 

 

 

2FE

 

7,402,175.00

 

120.217

 

7,273,129.11

 

6,050,000.00

 

7,055,571.23

 

217,557.88

 

(163,956.01

)

 

 

7.875

 

3.581

 

Jun-Dec

 

140,284.38

 

238,219.00

 

2/17/2010

 

12/15/2015

 

3128JLHB8

 

FHLMC POOL # 1B1225

 

 

 

 

 

2

 

1

 

71,285.72

 

102.766

 

76,460.38

 

72,393.32

 

71,329.12

 

5,131.26

 

150.29

 

 

 

2.711

 

3.003

 

Monthly

 

163.55

 

1,586.00

 

4/2/2007

 

9/1/2033

 

3128JMXM4

 

FHLMC POOL # 1B2583

 

 

 

 

 

2

 

1

 

1,852,925.16

 

104.81

 

1,963,611.35

 

1,873,496.18

 

1,853,722.79

 

109,888.56

 

2,230.29

 

 

 

2.933

 

3.112

 

Monthly

 

4,579.13

 

41,536.00

 

9/17/2008

 

10/1/2034

 

3128JMY68

 

FHLMC POOL # 1B2632

 

 

 

 

 

2

 

1

 

135,126.36

 

102.067

 

145,330.06

 

136,188.64

 

135,157.60

 

10,172.46

 

87.01

 

 

 

2.707

 

2.816

 

Monthly

 

307.22

 

2,776.00

 

4/3/2007

 

11/1/2034

 

3128JMZG5

 

FHLMC POOL # 1B2642

 

 

 

 

 

2

 

1

 

182,943.68

 

102.147

 

193,999.52

 

184,381.91

 

182,982.69

 

11,016.83

 

203.85

 

 

 

2.863

 

2.972

 

Monthly

 

439.90

 

4,005.00

 

4/2/2007

 

11/1/2034

 

3128JNAL9

 

FHLMC POOL # 1B2810

 

 

 

 

 

2

 

1

 

197,591.25

 

102.443

 

211,638.34

 

199,647.62

 

197,660.90

 

13,977.44

 

299.66

 

 

 

2.653

 

2.816

 

Monthly

 

441.39

 

4,082.00

 

4/2/2007

 

2/1/2035

 

3128JR6Z4

 

FHLMC POOL # 848088

 

 

 

 

 

2

 

1

 

9,949,635.07

 

0

 

9,945,656.20

 

9,468,797.70

 

9,943,435.70

 

2,220.50

 

(62,967.33

)

 

 

2.494

 

1.426

 

Monthly

 

19,679.32

 

118,676.00

 

3/8/2011

 

4/1/2035

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

3128JRJS6

 

FHLMC POOL # 847473

 

 

 

 

 

2

 

1

 

2,265,054.16

 

104.06

 

2,387,553.31

 

2,274,293.49

 

2,265,155.89

 

122,397.42

 

1,390.11

 

 

 

2.459

 

2.493

 

Monthly

 

4,660.41

 

43,901.00

 

9/26/2007

 

12/1/2035

 

3128JRKQ8

 

FHLMC POOL # 847503

 

 

 

 

 

2

 

1

 

1,136,196.09

 

102.602

 

1,200,290.10

 

1,163,371.75

 

1,137,367.57

 

62,922.53

 

2,730.02

 

 

 

2.557

 

3.02

 

Monthly

 

2,478.95

 

23,616.00

 

5/31/2006

 

12/1/2035

 

3128JRP26

 

FHLMC POOL # 847641

 

 

 

 

 

2

 

1

 

583,452.00

 

103.178

 

616,400.61

 

588,157.26

 

583,620.13

 

32,780.48

 

976.71

 

 

 

2.522

 

2.641

 

Monthly

 

1,236.11

 

11,227.00

 

11/13/2006

 

12/1/2033

 

3128JRPZ3

 

FHLMC POOL # 847640

 

 

 

 

 

2

 

1

 

406,780.24

 

103.204

 

430,977.23

 

409,009.34

 

406,830.17

 

24,147.06

 

296.38

 

 

 

2.528

 

2.589

 

Monthly

 

861.65

 

10,751.00

 

11/13/2006

 

5/1/2036

 

3128KW5Q2

 

FHLMC GOLD POOL # A66255

 

 

 

 

 

2

 

1

 

2,240,270.07

 

104.722

 

2,450,525.19

 

2,214,834.09

 

2,239,375.37

 

211,149.82

 

(3,620.68

)

 

 

6

 

5.609

 

Monthly

 

11,074.17

 

99,667.00

 

11/2/2007

 

9/1/2037

 

3128KWBZ5

 

FHLMC GOLD POOL # A65456

 

 

 

 

 

2

 

1

 

24,917.87

 

105.253

 

26,772.87

 

23,981.11

 

24,891.81

 

1,881.06

 

(211.27

)

 

 

6

 

4.883

 

Monthly

 

119.91

 

1,079.00

 

2/4/2009

 

9/1/2037

 

3128KWFX6

 

FHLMC GOLD POOL # A65582

 

 

 

 

 

2

 

1

 

56,397.26

 

105.253

 

60,595.69

 

54,277.04

 

56,338.84

 

4,256.85

 

(320.36

)

 

 

6

 

4.86

 

Monthly

 

271.39

 

2,443.00

 

2/4/2009

 

9/1/2037

 

3128KWFY4

 

FHLMC GOLD POOL # A65583

 

 

 

 

 

2

 

1

 

79,941.04

 

105.253

 

85,892.21

 

76,935.75

 

79,858.68

 

6,033.53

 

(524.18

)

 

 

6

 

4.839

 

Monthly

 

384.68

 

3,462.00

 

2/4/2009

 

9/1/2037

 

3128KWNV1

 

FHLMC GOLD POOL # A65804

 

 

 

 

 

2

 

1

 

3,130,387.19

 

104.94

 

3,446,426.31

 

3,094,844.85

 

3,129,133.59

 

317,292.72

 

(6,369.04

)

 

 

6

 

5.615

 

Monthly

 

15,474.22

 

139,268.00

 

11/2/2007

 

9/1/2037

 

3128KWNX7

 

FHLMC GOLD POOL # A65806

 

 

 

 

 

2

 

1

 

2,707,947.70

 

104.94

 

2,981,337.97

 

2,677,201.72

 

2,706,880.56

 

274,457.41

 

(9,440.58

)

 

 

6

 

5.591

 

Monthly

 

13,386.01

 

120,474.00

 

11/2/2007

 

9/1/2037

 

3128KWT29

 

FHLMC GOLD POOL # A65969

 

 

 

 

 

2

 

1

 

50,710.53

 

105.253

 

54,485.65

 

48,804.13

 

50,658.20

 

3,827.45

 

(137.02

)

 

 

6

 

4.819

 

Monthly

 

244.02

 

2,196.00

 

2/4/2009

 

9/1/2037

 

3128KWTK9

 

FHLMC GOLD POOL # A65954

 

 

 

 

 

2

 

1

 

76,527.73

 

105.253

 

82,224.78

 

73,650.74

 

76,449.34

 

5,775.44

 

(281.87

)

 

 

6

 

4.797

 

Monthly

 

368.25

 

3,314.00

 

2/4/2009

 

9/1/2037

 

3128KWTP8

 

FHLMC GOLD POOL # A65958

 

 

 

 

 

2

 

1

 

66,316.66

 

105.253

 

71,253.58

 

63,823.57

 

66,248.41

 

5,005.17

 

(294.45

)

 

 

6

 

4.826

 

Monthly

 

319.12

 

2,872.00

 

2/4/2009

 

9/1/2037

 

3128KWTZ6

 

FHLMC GOLD POOL # A65968

 

 

 

 

 

2

 

1

 

50,651.58

 

105.253

 

54,422.32

 

48,747.40

 

50,599.02

 

3,823.30

 

(289.26

)

 

 

6

 

4.846

 

Monthly

 

243.74

 

2,194.00

 

2/4/2009

 

9/1/2037

 

3128KYXE4

 

FHLMC GOLD POOL # A67877

 

 

 

 

 

2

 

1

 

33,359.17

 

105.253

 

35,842.59

 

32,105.08

 

33,323.63

 

2,518.96

 

(131.34

)

 

 

6

 

4.886

 

Monthly

 

160.53

 

1,445.00

 

2/4/2009

 

4/1/2037

 

3128M4HY2

 

FHLMC GOLD POOL # G02647

 

 

 

 

 

2

 

1

 

2,359,723.00

 

103.318

 

2,592,624.26

 

2,392,242.56

 

2,360,617.94

 

232,006.32

 

8,440.72

 

 

 

5.5

 

6.108

 

Monthly

 

10,964.45

 

98,680.00

 

4/9/2007

 

2/1/2037

 

3128M4ZG1

 

FHLMC GOLD POOL # G03143

 

 

 

 

 

2

 

1

 

6,019.00

 

105.253

 

6,467.06

 

5,792.70

 

6,012.69

 

454.37

 

(28.91

)

 

 

6

 

4.838

 

Monthly

 

28.96

 

261.00

 

2/4/2009

 

7/1/2037

 

3128M5HK9

 

FHLMC GOLD POOL # G03534

 

 

 

 

 

2

 

1

 

12,184,282.49

 

106.822

 

13,371,678.94

 

11,856,379.46

 

12,173,932.28

 

1,197,746.66

 

(49,908.87

)

 

 

6.5

 

5.518

 

Monthly

 

64,222.07

 

577,998.00

 

11/6/2007

 

10/1/2037

 

3128M6UB2

 

FHLMC GOLD POOL # G04778

 

 

 

 

 

2

 

1

 

154,223.58

 

105.253

 

165,704.65

 

148,425.70

 

154,069.68

 

11,634.97

 

(832.65

)

 

 

6

 

4.838

 

Monthly

 

742.13

 

6,679.00

 

2/4/2009

 

7/1/2038

 

3128M7AZ9

 

FHLMC GOLD POOL # G05124

 

 

 

 

 

2

 

1

 

418,449.94

 

105.253

 

449,601.17

 

402,718.75

 

418,042.04

 

31,559.13

 

(2,428.76

)

 

 

6

 

4.834

 

Monthly

 

2,013.59

 

18,122.00

 

2/4/2009

 

12/1/2038

 

3128MBBR7

 

FHLMC GOLD POOL # G12548

 

 

 

 

 

2

 

1

 

1,718,181.19

 

104.5

 

1,851,222.51

 

1,714,430.88

 

1,717,336.66

 

133,885.85

 

(1,243.35

)

 

 

5.5

 

5.363

 

Monthly

 

7,857.81

 

70,720.00

 

3/30/2007

 

1/1/2022

 

3128MCLV5

 

FHLMC GOLD POOL # G13740

 

 

 

 

 

2

 

1

 

1,201,705.50

 

0

 

1,205,563.44

 

1,120,471.32

 

1,197,919.29

 

7,644.15

 

(26,023.99

)

 

 

5

 

2.323

 

Monthly

 

4,668.63

 

42,018.00

 

9/23/2010

 

9/1/2021

 

3128MTB72

 

FHLMC GOLD POOL # H00962

 

 

 

 

 

2

 

1

 

221,363.43

 

105.947

 

240,511.15

 

217,106.12

 

221,217.06

 

19,294.09

 

(2,437.58

)

 

 

6.5

 

5.539

 

Monthly

 

1,175.99

 

10,584.00

 

10/31/2007

 

7/1/2037

 

3128MTEE4

 

FHLMC GOLD POOL # H01033

 

 

 

 

 

2

 

1

 

7,308,523.06

 

105.947

 

7,940,703.00

 

7,167,963.75

 

7,303,596.65

 

637,106.35

 

(30,140.85

)

 

 

6.5

 

5.485

 

Monthly

 

38,826.47

 

349,438.00

 

10/31/2007

 

7/1/2037

 

3128MTF29

 

FHLMC GOLD POOL # H01085

 

 

 

 

 

2

 

1

 

3,570,105.84

 

105.947

 

3,878,916.45

 

3,501,444.71

 

3,567,775.24

 

311,141.21

 

(24,266.45

)

 

 

6.5

 

5.579

 

Monthly

 

18,966.16

 

170,695.00

 

10/31/2007

 

7/1/2037

 

3128NCB37

 

FHLMC POOL # 1G0058

 

 

 

 

 

2

 

1

 

275,540.61

 

104.77

 

289,362.09

 

276,187.93

 

275,531.12

 

13,830.97

 

248.10

 

 

 

2.607

 

2.603

 

Monthly

 

600.02

 

5,520.00

 

9/17/2008

 

1/1/2035

 

3128NCD68

 

FHLMC POOL # 1G0125

 

 

 

 

 

2

 

1

 

2,379,303.86

 

102.031

 

2,565,364.96

 

2,430,185.87

 

2,382,229.57

 

183,135.39

 

12,336.26

 

 

 

2.506

 

2.86

 

Monthly

 

5,075.04

 

46,895.00

 

12/13/2005

 

3/1/2035

 

3128NCMS0

 

FHLMC POOL # 1G0369

 

 

 

 

 

2

 

1

 

437,735.09

 

104.772

 

456,341.43

 

435,557.34

 

437,599.78

 

18,741.65

 

(757.27

)

 

 

2.745

 

2.592

 

Monthly

 

996.34

 

8,967.00

 

8/27/2008

 

10/1/2035

 

3128PV4J6

 

FHLMC GOLD POOL # J16225

 

 

 

 

 

2

 

1

 

3,396,968.32

 

0

 

3,431,327.53

 

3,215,589.00

 

3,394,786.16

 

36,541.37

 

(3,415.13

)

 

 

4

 

2.615

 

Monthly

 

10,718.63

 

10,719.00

 

8/2/2011

 

8/1/2026

 

3128PVWH9

 

FHLMC GOLD POOL # J16048

 

 

 

 

 

2

 

1

 

9,510,963.71

 

0

 

9,607,163.96

 

9,003,130.86

 

9,504,817.45

 

102,346.51

 

(9,558.10

)

 

 

4

 

2.608

 

Monthly

 

30,010.45

 

30,010.00

 

8/2/2011

 

7/1/2026

 

3128QJ3B0

 

FHLMC POOL # 1G1694

 

 

 

 

 

2

 

1

 

2,443,807.50

 

105.5

 

2,616,960.17

 

2,480,530.97

 

2,444,306.09

 

172,654.08

 

8,000.85

 

 

 

5.247

 

5.569

 

Monthly

 

10,846.12

 

97,725.00

 

8/10/2007

 

4/1/2037

 

3128QJLG9

 

FHLMC POOL # 1G1227

 

 

 

 

 

2

 

1

 

428,460.89

 

104.309

 

432,259.11

 

420,059.70

 

428,141.38

 

4,117.73

 

(3,288.57

)

 

 

5.945

 

5.319

 

Monthly

 

2,081.05

 

18,902.00

 

1/4/2008

 

10/1/2036

 

3128QJRN8

 

FHLMC POOL # 1G1393

 

 

 

 

 

2

 

1

 

1,216,704.19

 

105.41

 

1,260,047.75

 

1,206,711.12

 

1,215,953.77

 

44,093.98

 

(4,128.43

)

 

 

5.93

 

5.487

 

Monthly

 

5,963.16

 

53,709.00

 

3/30/2007

 

12/1/2036

 

3128QPU59

 

FHLMC POOL # 1B7453

 

 

 

 

 

2

 

1

 

167,607.08

 

106.25

 

175,127.24

 

164,825.64

 

167,502.22

 

7,625.02

 

(963.22

)

 

 

6.087

 

5.412

 

Monthly

 

836.08

 

7,492.00

 

12/13/2007

 

8/1/2037

 

3128X2TM7

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

8,382,000.00

 

110.266

 

8,269,949.33

 

7,500,000.00

 

8,002,454.80

 

267,494.53

 

(175,407.10

)

 

 

5

 

2.039

 

Jan-Jul

 

63,541.67

 

375,000.00

 

11/30/2009

 

1/30/2014

 

312929CM2

 

FHLMC GOLD POOL # A82776

 

 

 

 

 

2

 

1

 

15,844.73

 

105.253

 

17,024.29

 

15,249.07

 

15,829.30

 

1,194.99

 

(94.67

)

 

 

6

 

4.815

 

Monthly

 

76.25

 

686.00

 

2/4/2009

 

1/1/2039

 

31292KJH1

 

FHLMC GOLD POOL # C02964

 

 

 

 

 

2

 

1

 

3,153.19

 

105.253

 

3,387.92

 

3,034.64

 

3,149.88

 

238.04

 

(17.78

)

 

 

6

 

4.848

 

Monthly

 

15.17

 

137.00

 

2/4/2009

 

7/1/2037

 

312930LH1

 

FHLMC GOLD POOL # A83928

 

 

 

 

 

2

 

1

 

53,054.55

 

105.253

 

57,004.16

 

51,060.02

 

53,002.77

 

4,001.39

 

(302.76

)

 

 

6

 

4.686

 

Monthly

 

255.30

 

2,298.00

 

2/4/2009

 

1/1/2039

 

312930LQ1

 

FHLMC GOLD POOL # A83935

 

 

 

 

 

2

 

1

 

65,750.14

 

105.253

 

70,644.86

 

63,278.33

 

65,686.84

 

4,958.02

 

(294.95

)

 

 

6

 

4.788

 

Monthly

 

316.39

 

2,848.00

 

2/4/2009

 

1/1/2039

 

312930RC6

 

FHLMC GOLD POOL # A84083

 

 

 

 

 

2

 

1

 

40,108.55

 

104.47

 

43,094.40

 

38,600.71

 

40,067.45

 

3,026.95

 

(209.73

)

 

 

6

 

5.092

 

Monthly

 

193.00

 

1,737.00

 

2/4/2009

 

1/1/2039

 

312930RV4

 

FHLMC GOLD POOL # A84100

 

 

 

 

 

2

 

1

 

20,657.66

 

105.253

 

22,195.52

 

19,881.07

 

20,637.56

 

1,557.96

 

(67.97

)

 

 

6

 

4.84

 

Monthly

 

99.41

 

895.00

 

2/4/2009

 

1/1/2039

 

312930TB6

 

FHLMC GOLD POOL # A84146

 

 

 

 

 

2

 

1

 

21,070.09

 

104.47

 

22,638.64

 

20,277.98

 

21,049.40

 

1,589.24

 

(69.86

)

 

 

6

 

4.97

 

Monthly

 

101.39

 

913.00

 

2/4/2009

 

1/1/2039

 

31295NXK9

 

FHLMC POOL # 789682

 

 

 

 

 

2

 

1

 

47,718.26

 

102.028

 

50,455.13

 

47,993.86

 

47,727.22

 

2,727.91

 

11.32

 

 

 

2.392

 

2.467

 

Monthly

 

95.67

 

922.00

 

8/10/2006

 

9/1/2032

 

31331GVD8

 

FEDERAL FARM CRDEIT BANK AGENCY BND

 

 

 

 

 

 

 

1

 

3,381,186.00

 

102.701

 

3,481,548.31

 

3,390,000.00

 

3,386,477.28

 

95,071.03

 

1,688.01

 

 

 

2.2

 

2.27

 

Apr-Oct

 

35,839.83

 

37,290.00

 

5/4/2009

 

4/8/2013

 

31331JG49

 

FEDERAL FARM CRDEIT BANK AGENCY BND

 

 

 

 

 

 

 

1

 

6,492,395.00

 

100.06

 

6,503,880.50

 

6,500,000.00

 

6,495,759.98

 

8,120.52

 

2,444.56

 

 

 

0.269

 

0.347

 

Monthly

 

777.11

 

13,179.00

 

9/17/2010

 

1/15/2013

 

31331KEF3

 

FEDERAL FARM CRDEIT BANK AGENCY BND

 

 

 

 

 

 

 

1

 

1,999,640.00

 

100

 

1,999,992.58

 

2,000,000.00

 

1,999,700.92

 

291.66

 

60.92

 

 

 

0.19994

 

0.177

 

Monthly

 

155.50

 

1,127.00

 

6/7/2011

 

4/17/2013

 

31331KHC7

 

FEDERAL FARM CRDEIT BANK AGENCY BND

 

 

 

 

 

 

 

1

 

1,998,404.00

 

99.982

 

1,999,630.28

 

2,000,000.00

 

1,998,704.34

 

925.94

 

300.34

 

 

 

0.18878

 

0.196

 

Monthly

 

20.98

 

1,267.00

 

4/28/2011

 

7/29/2013

 

31331KHV5

 

FEDERAL FARM CRDEIT BANK AGENCY BND

 

 

 

 

 

 

 

1

 

998,457.50

 

99.862

 

998,622.48

 

1,000,000.00

 

998,514.17

 

108.31

 

56.67

 

 

 

0.3005

 

0.289

 

Monthly

 

91.82

 

464.00

 

7/28/2011

 

4/20/2016

 

31331KKH2

 

FEDERAL FARM CRDEIT BANK AGENCY BND

 

 

 

 

 

 

 

1

 

2,499,022.50

 

100.018

 

2,500,450.30

 

2,500,000.00

 

2,499,197.78

 

1,252.52

 

175.28

 

 

 

0.20456

 

0.194

 

Monthly

 

99.44

 

1,581.00

 

5/5/2011

 

7/24/2013

 

313372RK2

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

9,032,850.00

 

100.94

 

9,084,600.18

 

9,000,000.00

 

9,025,128.89

 

59,471.29

 

(7,721.11

)

 

 

1

 

0.811

 

Mar-Sep

 

1,000.00

 

55,000.00

 

4/12/2011

 

3/27/2013

 

313372VR2

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

10,820,375.00

 

101.314

 

10,840,606.77

 

10,700,000.00

 

10,812,103.25

 

28,503.52

 

(8,271.75

)

 

 

1.2

 

0.729

 

Jun-Dec

 

32,456.66

 

 

7/29/2011

 

12/30/2013

 

313373JR4

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

4,079,320.87

 

102.082

 

4,093,488.24

 

4,010,000.00

 

4,074,500.44

 

18,987.80

 

(4,820.43

)

 

 

1.375

 

0.762

 

May-Nov

 

18,838.64

 

 

7/18/2011

 

5/28/2014

 

3133TJP56

 

FHLMC CMO AGENCY CMO_2130 QS

 

 

 

 

 

2

 

1FE

 

2,029,136.24

 

108.342

 

2,167,925.60

 

2,000,997.21

 

2,026,298.10

 

141,627.50

 

(9,176.73

)

 

 

6

 

5.551

 

Monthly

 

10,004.99

 

90,045.00

 

2/6/2007

 

6/15/2026

 

3133XSP93

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

3,612,678.30

 

105.582

 

3,658,416.33

 

3,465,000.00

 

3,546,789.43

 

111,626.90

 

(27,033.95

)

 

 

3.125

 

2.022

 

Jun-Dec

 

32,484.38

 

54,141.00

 

11/25/2009

 

12/13/2013

 

3133XUE41

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

12,098,988.00

 

101.33

 

12,159,540.84

 

12,000,000.00

 

12,034,828.45

 

124,712.39

 

(28,975.91

)

 

 

1.75

 

1.421

 

Feb-Aug

 

22,750.00

 

210,000.00

 

1/28/2010

 

8/22/2012

 

3133XWE70

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

5,742,755.00

 

104.945

 

6,034,337.90

 

5,750,000.00

 

5,745,535.18

 

288,802.72

 

1,368.29

 

 

 

2.5

 

2.53

 

Jun-Dec

 

43,125.00

 

71,875.00

 

12/21/2009

 

6/13/2014

 

3133XX7F8

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

9,981,800.00

 

101.802

 

10,180,200.20

 

10,000,000.00

 

9,991,191.79

 

189,008.41

 

4,384.47

 

 

 

1.625

 

1.686

 

Mar-Sep

 

4,965.28

 

162,500.00

 

2/18/2010

 

3/20/2013

 

3133XXYX9

 

FHLB AGENCY BND

 

 

 

 

 

 

 

1

 

13,788,682.41

 

0

 

13,761,967.77

 

13,425,000.00

 

13,727,533.64

 

34,434.13

 

(44,380.99

)

 

 

1.875

 

0.557

 

Jun-Dec

 

69,921.88

 

42,188.00

 

8/10/2011

 

6/21/2013

 

31342A6F1

 

FHLMC POOL # 780870

 

 

 

 

 

2

 

1

 

447,215.70

 

100.79

 

473,288.91

 

454,164.42

 

447,511.79

 

25,777.12

 

1,085.93

 

 

 

2.413

 

2.698

 

Monthly

 

913.25

 

8,733.00

 

4/2/2007

 

9/1/2033

 

31342AZE2

 

FHLMC POOL # 780741

 

 

 

 

 

2

 

1

 

666,158.68

 

0

 

679,576.68

 

645,678.56

 

665,536.41

 

14,040.27

 

(1,915.27

)

 

 

2.464

 

1.685

 

Monthly

 

1,325.79

 

12,786.00

 

11/16/2009

 

7/1/2033

 

31349SJK0

 

FHLMC POOL # 781166

 

 

 

 

 

2

 

1

 

997,429.45

 

102.249

 

1,063,497.99

 

1,013,945.68

 

998,282.72

 

65,215.27

 

2,474.27

 

 

 

2.48

 

2.775

 

Monthly

 

2,095.49

 

19,030.00

 

1/9/2006

 

1/1/2034

 

31349UCW6

 

FHLMC POOL # 782785

 

 

 

 

 

2

 

1

 

195,954.46

 

101.962

 

204,881.17

 

197,494.94

 

196,000.99

 

8,880.18

 

299.99

 

 

 

2.348

 

2.469

 

Monthly

 

386.43

 

3,505.00

 

4/2/2007

 

10/1/2034

 

31349UEJ3

 

FHLMC POOL # 782837

 

 

 

 

 

2

 

1

 

383,221.26

 

101.33

 

405,590.32

 

386,233.88

 

383,315.25

 

22,275.07

 

353.51

 

 

 

2.499

 

2.611

 

Monthly

 

804.33

 

7,242.00

 

4/2/2007

 

11/1/2034

 

31349UJL3

 

FHLMC GOLD POOL # 782967

 

 

 

 

 

2

 

1

 

118,665.00

 

104.64

 

126,042.01

 

120,452.99

 

118,731.59

 

7,310.42

 

318.78

 

 

 

2.5

 

2.755

 

Monthly

 

250.94

 

2,279.00

 

9/30/2008

 

1/1/2035

 

31349ULB2

 

FHLMC POOL # 783022

 

 

 

 

 

2

 

1

 

378,379.70

 

100.44

 

400,972.59

 

381,758.26

 

378,492.51

 

22,480.08

 

552.73

 

 

 

2.494

 

2.626

 

Monthly

 

793.42

 

7,246.00

 

4/2/2007

 

2/1/2035

 

3134G2MJ8

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

14,685,125.07

 

99.982

 

14,697,406.20

 

14,700,000.00

 

14,687,277.81

 

10,128.39

 

2,152.74

 

 

 

0.17994

 

0.185

 

Monthly

 

881.71

 

5,413.00

 

6/9/2011

 

6/17/2013

 

3134G2U42

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

4,042,252.35

 

99.732

 

4,039,146.08

 

4,050,000.00

 

4,042,283.61

 

(3,137.53

)

31.26

 

 

 

0.375

 

0.469

 

Apr-Oct

 

168.75

 

 

9/27/2011

 

10/15/2013

 

3134G2WG3

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

2,106,127.80

 

100.128

 

2,102,687.96

 

2,100,000.00

 

2,105,929.75

 

(3,241.79

)

(198.05

)

 

 

0.75

 

0.654

 

Mar-Sep

 

393.75

 

2,056.00

 

8/24/2011

 

9/22/2014

 

313551AN3

 

FEDERAL MOGUL TL B TERM LOAN

 

 

 

 

 

2

 

4FE

 

 

91.896

 

 

 

 

 

 

 

 

#N/A

 

1.369

 

#N/A

 

 

20,069.00

 

8/23/2011

 

12/29/2014

 

313551AP8

 

FEDERAL MOGUL CORP TERM LOAN

 

 

 

 

 

2

 

4FE

 

 

91.896

 

 

 

 

 

 

 

 

#N/A

 

1.062

 

#N/A

 

 

10,839.00

 

8/23/2011

 

12/28/2015

 

31359MA45

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

10,962,357.43

 

114.581

 

11,458,100.10

 

10,000,000.00

 

10,676,296.81

 

781,803.29

 

(142,111.71

)

 

 

5

 

2.972

 

Apr-Oct

 

230,555.56

 

250,000.00

 

2/19/2010

 

4/15/2015

 

31359MRK1

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

3,126,550.66

 

106.071

 

3,182,129.97

 

3,000,000.00

 

3,064,317.10

 

117,812.87

 

(42,358.18

)

 

 

4.625

 

3.225

 

May-Nov

 

57,812.50

 

69,375.00

 

2/19/2010

 

5/1/2013

 

31359MZC0

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

5,904,904.90

 

113.258

 

6,002,674.16

 

5,300,000.00

 

5,772,062.61

 

230,611.55

 

(83,117.22

)

 

 

4.375

 

2.065

 

Apr-Oct

 

106,920.14

 

115,938.00

 

7/16/2010

 

10/15/2015

 

3135G0CL5

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

26,585,636.00

 

99.99

 

26,597,252.22

 

26,600,000.00

 

26,586,645.77

 

10,606.45

 

1,009.77

 

 

 

0.20006

 

0.231

 

F-M-A-N

 

6,651.99

 

 

8/12/2011

 

5/17/2013

 

3136FREN9

 

FNMA AGENCY BND

 

 

 

 

 

1

 

1

 

5,046,093.75

 

100.921

 

5,046,044.45

 

5,000,000.00

 

5,034,414.60

 

11,629.85

 

(11,679.15

)

 

 

2

 

0.703

 

Apr-Oct

 

46,666.67

 

 

7/25/2011

 

4/13/2012

 

3136FRX73

 

FNMA AGENCY BND

 

 

 

 

 

1

 

 

 

6,999,930.00

 

99.543

 

6,967,975.00

 

7,000,000.00

 

6,999,931.04

 

(31,956.04

)

1.04

 

 

 

1

 

1

 

Mar-Sep

 

4,277.78

 

 

8/31/2011

 

9/9/2015

 

31371NAC9

 

FNMA POOL # 256603

 

 

 

 

 

2

 

1

 

1,010,169.70

 

108.466

 

1,094,667.84

 

1,009,223.55

 

1,009,799.94

 

84,867.90

 

(320.62

)

 

 

5.5

 

5.347

 

Monthly

 

4,625.61

 

41,630.00

 

7/17/2008

 

2/1/2022

 

31371NE35

 

FNMA POOL # 256754

 

 

 

 

 

2

 

1

 

398,969.11

 

0

 

408,252.06

 

376,385.95

 

397,585.27

 

10,666.79

 

(7,559.86

)

 

 

5.5

 

2.644

 

Monthly

 

1,725.10

 

15,526.00

 

9/29/2009

 

6/1/2022

 

31379T6G4

 

FNMA POOL # 429371

 

 

 

 

 

2

 

1

 

13,946.59

 

103.159

 

15,125.51

 

14,060.82

 

13,982.72

 

1,142.79

 

58.92

 

 

 

5

 

5.258

 

Monthly

 

58.59

 

527.00

 

12/14/2007

 

2/1/2014

 

3137A7SR2

 

FHLMC CMO_3824 FA

 

 

 

 

 

2

 

1

 

5,124,622.26

 

99.81

 

5,114,895.73

 

5,124,622.26

 

5,124,622.26

 

(9,726.53

)

 

 

 

0.379

 

0.379

 

Monthly

 

863.21

 

9,227.00

 

2/28/2011

 

3/15/2026

 

3137EABX6

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

5,007,563.09

 

104.527

 

5,226,349.65

 

5,000,000.00

 

5,004,539.88

 

221,809.77

 

(2,912.82

)

 

 

2.5

 

2.459

 

Jan-Jul

 

29,166.67

 

125,000.00

 

2/19/2010

 

1/7/2014

 

3137EACC1

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

9,100,620.00

 

101.066

 

9,095,970.42

 

9,000,000.00

 

9,030,144.13

 

65,826.29

 

(31,737.16

)

 

 

1.75

 

1.271

 

Jun-Dec

 

46,375.01

 

78,750.00

 

1/28/2010

 

6/15/2012

 

3137EACS6

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

8,042,960.00

 

100.571

 

8,045,679.92

 

8,000,000.00

 

8,036,021.97

 

9,657.95

 

(6,938.03

)

 

 

0.75

 

0.447

 

Mar-Sep

 

500.00

 

30,000.00

 

6/14/2011

 

3/28/2013

 

3137EACV9

 

FHLMC AGENCY BND

 

 

 

 

 

 

 

1

 

5,068,250.00

 

101.007

 

5,050,350.55

 

5,000,000.00

 

5,065,201.55

 

(14,851.00

)

(3,048.45

)

 

 

1

 

0.547

 

Feb-Aug

 

4,722.22

 

7,222.00

 

8/9/2011

 

8/27/2014

 

31385W2S7

 

FNMA POOL # 555285

 

 

 

 

 

2

 

1

 

4,676,075.15

 

105.288

 

4,695,349.95

 

4,243,743.77

 

4,667,095.51

 

28,254.44

 

(96,081.21

)

 

 

6

 

2.639

 

Monthly

 

21,218.71

 

169,750.00

 

1/5/2011

 

3/1/2033

 

31385XEW3

 

FNMA POOL # 555549

 

 

 

 

 

2

 

1

 

295,636.08

 

104.727

 

321,611.01

 

298,057.80

 

295,932.64

 

25,678.37

 

725.62

 

 

 

5

 

5.235

 

Monthly

 

1,241.91

 

11,177.00

 

12/14/2007

 

6/1/2018

 

31385XK48

 

FNMA POOL # 555715

 

 

 

 

 

2

 

1

 

117,742.53

 

102.13

 

124,631.74

 

118,793.84

 

117,787.35

 

6,844.39

 

100.70

 

 

 

2.446

 

2.625

 

Monthly

 

242.14

 

2,273.00

 

4/2/2007

 

7/1/2033

 

3138A9YZ1

 

FNMA POOL # AH7927

 

 

 

 

 

2

 

1

 

5,638,555.10

 

0

 

5,693,382.24

 

5,447,057.00

 

5,635,510.58

 

57,871.66

 

(4,059.27

)

 

 

3.5

 

2.239

 

Monthly

 

15,887.25

 

15,887.00

 

8/3/2011

 

8/1/2026

 

3138ATD31

 

FNMA POOL# AJ1921

 

 

 

 

 

2

 

1

 

800,332.03

 

0

 

798,987.86

 

750,000.00

 

800,018.16

 

(1,030.30

)

(313.87

)

 

 

4.5

 

2.46

 

Monthly

 

2,812.50

 

 

9/20/2011

 

9/1/2041

 

31393RDQ0

 

FHLMC CMO_2613 BV

 

 

 

 

 

2

 

1

 

4,457,354.97

 

105.19

 

4,473,742.34

 

4,253,011.07

 

4,420,958.87

 

52,783.47

 

(85,065.84

)

 

 

5

 

0.933

 

Monthly

 

17,720.88

 

106,325.00

 

2/24/2011

 

6/15/2014

 

31394BPP3

 

FNMA AGENCY CMO_04-88 HA

 

 

 

 

 

2

 

1

 

43,409.67

 

108

 

45,338.12

 

41,979.74

 

42,804.03

 

2,534.09

 

(611.43

)

 

 

6.5

 

5.194

 

Monthly

 

227.39

 

2,047.00

 

1/14/2008

 

12/25/2015

 

31394CGZ9

 

FANNIE MAE FNR_05-13 CMO_05-13 PC

 

 

 

 

 

2

 

1

 

496,716.23

 

103.5

 

492,110.13

 

475,468.72

 

486,907.18

 

5,202.95

 

(13,139.67

)

 

 

5

 

0.287

 

Monthly

 

1,981.12

 

13,868.00

 

2/4/2011

 

12/25/2012

 

31394CVB5

 

FNMA_05-15 CMO_05-15 EA

 

 

 

 

 

2

 

1

 

750,179.93

 

100.625

 

761,473.03

 

756,743.38

 

753,627.52

 

7,845.51

 

5,812.95

 

 

 

5

 

5.313

 

Monthly

 

3,153.10

 

28,378.00

 

5/24/2007

 

10/25/2028

 

31394DA42

 

FNMA CMO_05-48 AR

 

 

 

 

 

2

 

1

 

223,629.95

 

110.599

 

245,567.17

 

222,034.09

 

223,134.91

 

22,432.26

 

(371.05

)

 

 

5.5

 

5.252

 

Monthly

 

1,017.66

 

9,159.00

 

12/20/2007

 

11/25/2019

 

31394FQ81

 

FNW_05-W3 AGENCY CMO 05-87

 

 

 

 

 

2

 

 

 

5,960,894.53

 

104.5

 

5,825,875.00

 

5,575,000.00

 

5,951,795.92

 

(125,920.92

)

(9,098.61

)

 

 

5

 

4.188

 

Monthly

 

23,229.17

 

116,146.00

 

4/8/2011

 

7/25/2030

 

31394MXF2

 

FHLMC CMO_2720 JC

 

 

 

 

 

2

 

1

 

793,548.64

 

107.32

 

784,241.22

 

730,749.82

 

786,547.73

 

(2,306.51

)

(8,655.22

)

 

 

5

 

1.778

 

Monthly

 

3,044.79

 

9,134.00

 

6/6/2011

 

11/15/2018

 

31395VGR4

 

FHR AGENCY CMO_2989 WD

 

 

 

 

 

2

 

1

 

502,968.75

 

102.49

 

512,451.04

 

500,000.00

 

499,451.48

 

12,999.56

 

(548.26

)

 

 

5.5

 

5.295

 

Monthly

 

2,291.67

 

20,625.00

 

10/8/2008

 

5/15/2012

 

31396CLF5

 

FHLMC AGENCY CMO_3054 DW

 

 

 

 

 

2

 

1

 

139,077.13

 

106.725

 

148,988.77

 

139,600.63

 

139,146.10

 

9,842.67

 

92.32

 

 

 

5.5

 

5.656

 

Monthly

 

639.84

 

5,758.00

 

6/17/2008

 

5/15/2034

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

31396L5J5

 

FNMA CMO_06-129 FA

 

 

 

 

 

2

 

1

 

2,159,583.16

 

99.253

 

2,144,795.90

 

2,160,933.75

 

2,159,693.23

 

(14,897.33

)

784.06

 

 

 

0.43456

 

0.469

 

Monthly

 

156.51

 

4,407.00

 

3/23/2011

 

1/25/2037

 

31396UWM8

 

FHLMC AGENCY CMO 3184 FA

 

 

 

 

 

2

 

1

 

2,305,024.87

 

99.844

 

2,303,948.97

 

2,307,548.75

 

2,305,638.10

 

(1,689.13

)

579.54

 

 

 

0.379

 

0.443

 

Monthly

 

388.69

 

6,519.00

 

4/23/2010

 

2/15/2033

 

31397B7F2

 

FHLMC_3221 CMO_3211 QD

 

 

 

 

 

2

 

1

 

1,310,489.70

 

103.699

 

1,356,810.34

 

1,307,769.01

 

1,307,188.09

 

49,622.25

 

153.62

 

 

 

5.5

 

5.362

 

Monthly

 

5,993.94

 

53,945.00

 

4/19/2007

 

9/15/2013

 

31397G7M6

 

FHRR CMO_R011 AB

 

 

 

 

 

2

 

1

 

2,709,860.13

 

104.229

 

2,800,824.63

 

2,687,186.99

 

2,695,500.03

 

105,324.60

 

(4,352.91

)

 

 

5.5

 

4.834

 

Monthly

 

12,316.27

 

110,846.00

 

9/4/2008

 

7/15/2013

 

31397JAB0

 

FHLMC_3346A AGNECY CMO_3335-AF

 

 

 

 

 

2

 

1

 

992,232.29

 

99.107

 

983,298.51

 

992,154.78

 

992,230.43

 

(8,931.92

)

(6.02

)

 

 

0.379

 

0.376

 

Monthly

 

167.13

 

574.00

 

7/22/2011

 

9/15/2018

 

31397JAJ3

 

FHLMC_3346A AGENCY CMO 3335

 

 

 

 

 

2

 

 

 

391,269.41

 

99.906

 

390,872.06

 

391,238.85

 

391,268.66

 

(396.60

)

(2.76

)

 

 

0.379

 

0.376

 

Monthly

 

65.90

 

226.00

 

7/22/2011

 

7/15/2018

 

31397MTX5

 

FNR CMO_08-81 KA

 

 

 

 

 

2

 

1

 

3,947,113.94

 

106.433

 

4,192,816.21

 

3,939,391.83

 

3,944,045.43

 

248,770.78

 

(5,046.75

)

 

 

5

 

4.715

 

Monthly

 

16,414.12

 

146,235.00

 

1/7/2011

 

10/25/2022

 

31397Y5H0

 

FHLMC CMO_3484 DA

 

 

 

 

 

2

 

1

 

3,351,587.19

 

105

 

3,382,797.51

 

3,221,711.92

 

3,306,330.01

 

76,467.50

 

(58,926.62

)

 

 

5

 

2.432

 

Monthly

 

13,423.80

 

120,814.00

 

6/1/2009

 

9/15/2014

 

31398A2W1

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

1,953,022.50

 

101.842

 

1,985,918.90

 

1,950,000.00

 

1,950,000.00

 

35,918.90

 

(1,088.10

)

 

 

1.35

 

0.968

 

Feb-Aug

 

2,705.63

 

26,325.00

 

9/24/2010

 

2/24/2014

 

31398A4M1

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

8,783,730.00

 

102.423

 

9,218,070.36

 

9,000,000.00

 

8,805,903.63

 

412,166.73

 

24,970.07

 

 

 

1.625

 

2.182

 

Apr-Oct

 

62,968.75

 

73,125.00

 

4/4/2011

 

10/26/2015

 

31398AD33

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

 

0

 

 

 

 

 

(7,619.70

)

 

 

#N/A

 

0

 

#N/A

 

 

139,942.00

 

00/00/0000

 

1/25/2013

 

31398AE24

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

2,995,680.00

 

101.878

 

3,056,339.94

 

3,000,000.00

 

2,998,025.01

 

58,314.93

 

1,044.61

 

 

 

1.75

 

1.798

 

Feb-Aug

 

5,687.50

 

52,500.00

 

1/14/2010

 

2/22/2013

 

31398AHZ8

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

8,242,536.00

 

104.961

 

8,396,879.92

 

8,000,000.00

 

8,059,725.31

 

337,154.61

 

(140,371.45

)

 

 

4.75

 

4.069

 

May-Nov

 

139,333.34

 

190,000.00

 

11/30/2007

 

11/19/2012

 

31398AJ94

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

4,991,950.00

 

102.189

 

5,109,450.15

 

5,000,000.00

 

4,995,825.90

 

113,624.25

 

1,908.91

 

 

 

1.75

 

1.803

 

May-Nov

 

35,000.00

 

43,750.00

 

3/11/2010

 

5/7/2013

 

31398AT44

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

37,769,600.00

 

101.924

 

37,711,881.48

 

37,000,000.00

 

37,666,127.44

 

45,754.04

 

(114,348.92

)

 

 

1.5

 

0.457

 

Jun-Dec

 

146,458.33

 

277,500.00

 

6/23/2011

 

6/26/2013

 

31398AU34

 

FNMA AGENCY BND

 

 

 

 

 

 

 

1

 

6,730,020.00

 

105.534

 

7,123,544.80

 

6,750,000.00

 

6,734,789.14

 

388,755.66

 

2,823.74

 

 

 

2.375

 

2.437

 

Jan-Jul

 

28,054.69

 

160,313.00

 

6/10/2010

 

7/28/2015

 

31398EXU3

 

FHLMC AGENCY CMO 3566-DE

 

 

 

 

 

2

 

1

 

3,808,936.26

 

101.625

 

3,720,835.30

 

3,661,338.55

 

3,784,388.87

 

(63,553.57

)

(49,465.44

)

 

 

4

 

1.053

 

Monthly

 

12,204.46

 

61,022.00

 

4/6/2011

 

7/15/2014

 

31398T6X4

 

FNMA CMO 10-113 FA

 

 

 

 

 

2

 

1

 

5,037,853.14

 

99.869

 

5,043,088.41

 

5,049,688.35

 

5,038,055.76

 

5,032.65

 

759.07

 

 

 

0.63456

 

0.72

 

Monthly

 

534.06

 

5,073.00

 

8/10/2011

 

10/25/2040

 

31398TX22

 

FNMA_10-87 AGENCY CMO_10-103 MA

 

 

 

 

 

2

 

1

 

6,716,504.10

 

104.458

 

6,671,905.71

 

6,387,165.86

 

6,657,638.18

 

14,267.53

 

(84,938.57

)

 

 

4

 

1.61

 

Monthly

 

21,290.55

 

 

9/7/2011

 

1/25/2016

 

31400EGH7

 

FNMA POOL # 685200

 

 

 

 

 

2

 

1

 

267,680.73

 

104.727

 

291,199.48

 

269,873.46

 

267,956.27

 

23,243.21

 

614.62

 

 

 

5

 

5.241

 

Monthly

 

1,124.47

 

10,120.00

 

12/14/2007

 

3/1/2018

 

31400GJN6

 

FNMA POOL # 687069

 

 

 

 

 

2

 

1

 

280,791.18

 

101.55

 

305,498.77

 

281,362.70

 

280,442.93

 

25,055.84

 

928.01

 

 

 

5.5

 

5.501

 

Monthly

 

1,289.58

 

11,606.00

 

4/21/2006

 

1/1/2013

 

31400PG58

 

FNMA POOL # 693320

 

 

 

 

 

2

 

1

 

76,473.43

 

101.606

 

80,429.44

 

77,145.44

 

76,508.09

 

3,921.35

 

71.23

 

 

 

2.403

 

2.582

 

Monthly

 

154.48

 

1,391.00

 

8/10/2006

 

1/1/2033

 

31400QJ87

 

FNMA POOL # 694287

 

 

 

 

 

2

 

1

 

12,858.49

 

102.192

 

13,644.64

 

12,973.29

 

12,863.73

 

780.91

 

14.30

 

 

 

2.352

 

2.527

 

Monthly

 

25.43

 

233.00

 

4/2/2007

 

3/1/2033

 

31400SA33

 

FNMA POOL # 695826

 

 

 

 

 

2

 

1

 

161,167.88

 

104.727

 

175,328.26

 

162,488.08

 

161,327.62

 

14,000.64

 

663.63

 

 

 

5

 

5.245

 

Monthly

 

677.04

 

6,093.00

 

12/14/2007

 

4/1/2018

 

31401A3C9

 

FNMA POOL # 702895

 

 

 

 

 

2

 

1

 

290,566.63

 

104.727

 

316,096.17

 

292,946.84

 

290,887.98

 

25,208.19

 

882.64

 

 

 

5

 

5.223

 

Monthly

 

1,220.61

 

10,986.00

 

12/14/2007

 

4/1/2018

 

31401DVW8

 

FNMA POOL # 705429

 

 

 

 

 

2

 

1

 

191,225.21

 

102.235

 

202,175.00

 

193,454.46

 

191,342.74

 

10,832.26

 

567.11

 

 

 

2.46

 

2.707

 

Monthly

 

396.58

 

3,632.00

 

8/10/2006

 

4/1/2033

 

31402DQB9

 

FNMA POOL # 725950

 

 

 

 

 

2

 

1

 

434,592.17

 

108.094

 

474,062.10

 

438,566.68

 

434,949.89

 

39,112.21

 

1,162.08

 

 

 

5

 

5.273

 

Monthly

 

1,827.36

 

16,446.00

 

7/17/2008

 

11/1/2019

 

31402HD32

 

FNMA POOL # 729222

 

 

 

 

 

2

 

1

 

2,075,167.29

 

102.319

 

2,189,660.85

 

2,098,107.07

 

2,076,368.88

 

113,291.97

 

3,293.59

 

 

 

2.352

 

2.552

 

Monthly

 

4,112.29

 

41,609.00

 

9/17/2008

 

7/1/2035

 

31402RB81

 

FNMA POOL # 735463

 

 

 

 

 

2

 

1

 

125,498.93

 

102.966

 

132,905.13

 

126,536.97

 

125,555.62

 

7,349.51

 

88.64

 

 

 

2.414

 

2.555

 

Monthly

 

254.55

 

2,339.00

 

9/28/2006

 

3/1/2035

 

31402RF87

 

FNMA POOL # 735591

 

 

 

 

 

2

 

1

 

11,710,602.24

 

107.705

 

12,153,371.48

 

11,283,981.76

 

11,699,674.04

 

453,697.44

 

(91,892.79

)

 

 

5

 

3.524

 

Monthly

 

47,016.60

 

423,149.00

 

4/30/2010

 

6/1/2035

 

31402YSV7

 

FNMA POOL # 742232

 

 

 

 

 

2

 

1

 

12,991.62

 

104.272

 

13,966.53

 

13,193.47

 

13,000.22

 

966.31

 

7.70

 

 

 

2.625

 

2.97

 

Monthly

 

28.86

 

276.00

 

4/2/2007

 

9/1/2033

 

31403C2L4

 

FNMA POOL # 745179

 

 

 

 

 

2

 

1

 

1,018,936.30

 

104.727

 

1,108,461.22

 

1,027,282.97

 

1,019,818.01

 

88,643.21

 

2,605.95

 

 

 

5

 

5.232

 

Monthly

 

4,280.35

 

38,523.00

 

12/14/2007

 

4/1/2019

 

31403DCE7

 

FNMA POOL # 745369

 

 

 

 

 

2

 

1

 

689,042.49

 

104.52

 

750,911.31

 

694,686.79

 

689,635.48

 

61,275.83

 

1,358.94

 

 

 

5

 

5.211

 

Monthly

 

2,894.53

 

26,051.00

 

12/14/2007

 

12/1/2019

 

31403DCZ0

 

FNMA POOL # 745388

 

 

 

 

 

2

 

1

 

1,821,352.99

 

104.727

 

1,981,379.15

 

1,836,272.68

 

1,823,018.43

 

158,360.72

 

4,525.22

 

 

 

5

 

5.237

 

Monthly

 

7,651.13

 

68,860.00

 

12/14/2007

 

11/1/2018

 

31403H3P3

 

FNMA POOL # 749706

 

 

 

 

 

2

 

1

 

873,313.23

 

102.509

 

931,215.19

 

884,297.88

 

873,856.22

 

57,358.97

 

383.36

 

 

 

2.617

 

2.88

 

Monthly

 

1,928.51

 

18,660.00

 

5/15/2006

 

11/1/2033

 

31403KDB6

 

FNMA POOL # 750798

 

 

 

 

 

2

 

1

 

5,439.02

 

102.387

 

5,659.81

 

5,523.53

 

5,442.73

 

217.08

 

2.78

 

 

 

2.324

 

2.662

 

Monthly

 

10.70

 

96.00

 

4/2/2007

 

12/1/2033

 

31403VBR9

 

FNMA POOL # 758848

 

 

 

 

 

2

 

1

 

324,935.54

 

104.727

 

353,484.75

 

327,597.27

 

325,201.18

 

28,283.57

 

788.07

 

 

 

5

 

5.253

 

Monthly

 

1,364.99

 

12,285.00

 

12/14/2007

 

1/1/2019

 

31404CLB4

 

FNMA POOL # 764522

 

 

 

 

 

2

 

1

 

37,071.40

 

105.12

 

39,758.41

 

37,821.93

 

37,103.60

 

2,654.81

 

322.32

 

 

 

2.522

 

2.945

 

Monthly

 

79.49

 

742.00

 

9/30/2008

 

6/1/2034

 

31404LRF9

 

FNMA POOL # 771886

 

 

 

 

 

2

 

1

 

104,776.76

 

102.15

 

111,856.40

 

106,528.69

 

104,860.26

 

6,996.14

 

129.73

 

 

 

2.468

 

2.863

 

Monthly

 

219.09

 

1,989.00

 

8/10/2006

 

2/1/2034

 

31404NBP0

 

FNMA POOL # 773246

 

 

 

 

 

2

 

1

 

141,996.98

 

101.878

 

152,007.36

 

143,185.42

 

142,046.46

 

9,960.90

 

164.26

 

 

 

2.378

 

2.529

 

Monthly

 

283.75

 

2,590.00

 

4/2/2007

 

2/1/2035

 

31404VGA0

 

FNMA POOL # 779693

 

 

 

 

 

2

 

1

 

696,559.29

 

101.97

 

738,160.33

 

703,151.33

 

696,926.87

 

41,233.46

 

1,463.25

 

 

 

2.395

 

2.562

 

Monthly

 

1,403.37

 

13,527.00

 

2/24/2006

 

7/1/2034

 

31405AQ71

 

FNMA POOL # 783578

 

 

 

 

 

2

 

1

 

639,063.01

 

102.231

 

675,349.66

 

654,374.34

 

640,003.00

 

35,346.66

 

3,357.88

 

 

 

2.46

 

2.899

 

Monthly

 

1,341.47

 

12,133.00

 

2/28/2006

 

12/1/2034

 

31405PAG5

 

FNMA POOL # 794807

 

 

 

 

 

2

 

1

 

182,908.27

 

101.253

 

187,523.82

 

182,410.31

 

182,873.37

 

4,650.45

 

(124.63

)

 

 

2.22

 

2.138

 

Monthly

 

337.46

 

3,520.00

 

6/30/2007

 

10/1/2034

 

31405UMM8

 

FNMA POOL # 799664

 

 

 

 

 

2

 

1

 

66,229.44

 

101.933

 

70,746.06

 

66,750.10

 

66,251.16

 

4,494.90

 

54.33

 

 

 

2.507

 

2.647

 

Monthly

 

139.45

 

1,316.00

 

4/2/2007

 

10/1/2034

 

31405UR84

 

FNMA POOL # 799811

 

 

 

 

 

2

 

1

 

214,560.09

 

101.424

 

222,900.74

 

213,999.43

 

214,516.21

 

8,384.53

 

(4.51

)

 

 

2.222

 

2.149

 

Monthly

 

396.26

 

3,566.00

 

6/30/2007

 

11/1/2034

 

31405UTZ2

 

FNMA POOL # 799868

 

 

 

 

 

2

 

1

 

17,094.41

 

101.862

 

18,089.52

 

17,228.79

 

17,099.71

 

989.81

 

27.14

 

 

 

2.531

 

2.676

 

Monthly

 

36.34

 

332.00

 

4/2/2007

 

11/1/2034

 

31406BB90

 

FNMA POOL # 804764

 

 

 

 

 

2

 

1

 

221,862.24

 

101.971

 

237,262.38

 

223,606.36

 

221,932.82

 

15,329.56

 

186.10

 

 

 

2.366

 

2.509

 

Monthly

 

440.88

 

3,970.00

 

4/2/2007

 

1/1/2035

 

31406BEZ9

 

FNMA POOL # 804852

 

 

 

 

 

2

 

1

 

196,054.72

 

101.739

 

209,367.13

 

197,595.98

 

196,117.56

 

13,249.57

 

183.94

 

 

 

2.349

 

2.493

 

Monthly

 

386.79

 

3,494.00

 

4/2/2007

 

12/1/2034

 

31406BJF8

 

FNMA POOL # 804962

 

 

 

 

 

2

 

1

 

213,491.06

 

102.229

 

226,439.16

 

215,169.36

 

213,559.64

 

12,879.52

 

284.37

 

 

 

2.354

 

2.497

 

Monthly

 

422.09

 

3,822.00

 

4/2/2007

 

1/1/2035

 

31406BQQ6

 

FNMA POOL # 805163

 

 

 

 

 

2

 

1

 

276,370.72

 

103.027

 

295,283.11

 

278,683.81

 

276,467.82

 

18,815.29

 

257.86

 

 

 

2.334

 

2.486

 

Monthly

 

542.04

 

4,934.00

 

4/2/2007

 

1/1/2035

 

31406DG67

 

FNMA POOL # 806721

 

 

 

 

 

2

 

1

 

464,457.73

 

102.997

 

495,637.54

 

468,108.97

 

464,595.37

 

31,042.17

 

439.83

 

 

 

2.609

 

2.758

 

Monthly

 

1,017.75

 

9,443.00

 

4/2/2007

 

11/1/2034

 

31406GLK3

 

FNMA POOL # 809530

 

 

 

 

 

2

 

1

 

78,392.38

 

102.041

 

83,471.04

 

78,947.54

 

78,420.67

 

5,050.37

 

54.11

 

 

 

2.343

 

2.467

 

Monthly

 

154.15

 

1,409.00

 

9/28/2006

 

2/1/2035

 

31406MYP5

 

FNMA POOL # 814418

 

 

 

 

 

2

 

1

 

202,818.15

 

102.148

 

212,147.13

 

204,629.12

 

202,885.03

 

9,262.10

 

349.77

 

 

 

2.145

 

2.33

 

Monthly

 

365.77

 

3,365.00

 

4/2/2007

 

3/1/2035

 

31406PKU2

 

FNMA POOL # 815807

 

 

 

 

 

2

 

1

 

327,255.62

 

102.224

 

348,862.02

 

330,378.62

 

327,431.49

 

21,430.53

 

93.79

 

 

 

2.256

 

2.426

 

Monthly

 

621.11

 

5,703.00

 

9/28/2006

 

2/1/2035

 

31406TLC3

 

FNMA POOL # 819423

 

 

 

 

 

2

 

1

 

429,862.84

 

104.136

 

459,561.39

 

433,701.11

 

430,022.49

 

29,538.90

 

469.64

 

 

 

2.685

 

2.843

 

Monthly

 

970.41

 

8,865.00

 

4/2/2007

 

4/1/2035

 

31406TTE1

 

FNMA POOL # 819649

 

 

 

 

 

2

 

1

 

3,087,502.71

 

0

 

3,145,723.10

 

2,984,896.86

 

3,084,838.63

 

60,884.47

 

(8,906.20

)

 

 

2.265

 

1.47

 

Monthly

 

5,633.99

 

51,813.00

 

12/4/2009

 

3/1/2035

 

31406VHE9

 

FNMA POOL # 821129

 

 

 

 

 

2

 

1

 

233,071.14

 

102.212

 

249,058.77

 

235,152.22

 

233,162.06

 

15,896.71

 

265.26

 

 

 

2.432

 

2.587

 

Monthly

 

476.58

 

4,379.00

 

4/2/2007

 

5/1/2035

 

31407D5R2

 

FNMA POOL # 828056

 

 

 

 

 

2

 

1

 

1,114,897.66

 

105.25

 

1,153,770.26

 

1,096,218.77

 

1,114,044.39

 

39,725.87

 

(1,850.67

)

 

 

2.5

 

2.14

 

Monthly

 

2,283.79

 

21,838.00

 

2/20/2009

 

6/1/2035

 

31407E6W8

 

FNMA POOL # 828985

 

 

 

 

 

2

 

1

 

565,787.16

 

101.73

 

609,984.22

 

585,265.53

 

566,868.11

 

43,116.11

 

3,628.48

 

 

 

2.288

 

2.962

 

Monthly

 

1,115.91

 

10,796.00

 

3/16/2006

 

8/1/2035

 

31407GC22

 

FNMA POOL # 829989

 

 

 

 

 

2

 

1

 

1,628,813.11

 

102.4

 

1,738,406.02

 

1,644,292.58

 

1,629,497.92

 

108,908.10

 

1,099.59

 

 

 

2.524

 

2.714

 

Monthly

 

3,458.50

 

31,876.00

 

1/20/2006

 

4/1/2035

 

31408C6D3

 

FNMA POOL # 847868

 

 

 

 

 

2

 

1

 

1,578,890.58

 

101.963

 

1,684,145.74

 

1,595,846.45

 

1,579,675.11

 

104,470.63

 

1,796.77

 

 

 

2.273

 

2.478

 

Monthly

 

3,022.80

 

29,632.00

 

5/12/2006

 

11/1/2035

 

31409UBQ7

 

FNMA POOL # 878547

 

 

 

 

 

2

 

1

 

1,165,246.07

 

102.763

 

1,236,856.18

 

1,174,652.46

 

1,165,571.97

 

71,284.21

 

423.05

 

 

 

2.487

 

2.659

 

Monthly

 

2,434.47

 

22,320.00

 

5/4/2006

 

3/1/2036

 

31410FU60

 

FNMA POOL # 888105

 

 

 

 

 

2

 

1

 

818,420.57

 

107.902

 

890,327.95

 

825,124.71

 

819,008.64

 

71,319.31

 

2,141.81

 

 

 

5

 

5.221

 

Monthly

 

3,438.03

 

30,942.00

 

12/14/2007

 

8/1/2020

 

31410GC35

 

FNMA POOL # 888490

 

 

 

 

 

2

 

1

 

292,192.28

 

101.718

 

308,242.78

 

292,854.20

 

292,202.48

 

16,040.30

 

59.44

 

 

 

2.184

 

2.213

 

Monthly

 

532.99

 

4,902.00

 

6/18/2007

 

5/1/2035

 

31410GC50

 

FNMA POOL # 888492

 

 

 

 

 

2

 

1

 

164,025.74

 

102.692

 

171,125.59

 

163,714.09

 

163,995.83

 

7,129.76

 

(41.56

)

 

 

2.465

 

2.394

 

Monthly

 

336.30

 

3,075.00

 

6/18/2007

 

5/1/2033

 

31410GD83

 

FNMA POOL # 888527

 

 

 

 

 

2

 

1

 

38,458.21

 

102.929

 

41,512.79

 

39,182.62

 

38,491.60

 

3,021.19

 

89.59

 

 

 

2.51

 

2.895

 

Monthly

 

81.96

 

766.00

 

6/18/2007

 

4/1/2034

 

31410GDC4

 

FNMA POOL # 888499

 

 

 

 

 

2

 

1

 

1,252,116.48

 

101.573

 

1,320,722.10

 

1,259,151.54

 

1,252,372.94

 

68,349.16

 

1,017.91

 

 

 

2.44

 

2.543

 

Monthly

 

2,560.27

 

24,254.00

 

6/18/2007

 

8/1/2033

 

31410GDF7

 

FNMA POOL # 888502

 

 

 

 

 

2

 

1

 

149,301.13

 

102.689

 

158,348.82

 

151,241.78

 

149,402.54

 

8,946.28

 

231.63

 

 

 

1.83

 

2.082

 

Monthly

 

230.64

 

2,186.00

 

6/18/2007

 

6/1/2033

 

31410GDL4

 

FNMA POOL # 888507

 

 

 

 

 

2

 

1

 

661,730.90

 

101.908

 

721,367.79

 

673,314.51

 

662,245.34

 

59,122.45

 

2,147.29

 

 

 

2.444

 

2.789

 

Monthly

 

1,371.32

 

12,391.00

 

6/18/2007

 

2/1/2035

 

31410GDM2

 

FNMA POOL # 888508

 

 

 

 

 

2

 

1

 

704,697.70

 

101.875

 

755,688.91

 

714,550.12

 

705,137.02

 

50,551.89

 

987.89

 

 

 

2.429

 

2.713

 

Monthly

 

1,446.37

 

13,279.00

 

6/18/2007

 

3/1/2034

 

31410GDQ3

 

FNMA POOL # 888511

 

 

 

 

 

2

 

1

 

98,636.76

 

101.764

 

104,439.05

 

99,532.69

 

98,674.22

 

5,764.83

 

87.59

 

 

 

2.43

 

2.609

 

Monthly

 

201.55

 

1,815.00

 

6/18/2007

 

12/1/2033

 

31410GDS9

 

FNMA POOL # 888513

 

 

 

 

 

2

 

1

 

164,645.41

 

102.089

 

173,832.59

 

165,507.56

 

164,673.57

 

9,159.02

 

125.33

 

 

 

2.538

 

2.633

 

Monthly

 

350.05

 

3,166.00

 

6/18/2007

 

2/1/2034

 

31410GDX8

 

FNMA POOL # 888518

 

 

 

 

 

2

 

1

 

143,130.75

 

102.692

 

150,974.07

 

143,590.64

 

143,140.97

 

7,833.10

 

67.44

 

 

 

2.437

 

2.485

 

Monthly

 

291.61

 

2,681.00

 

6/18/2007

 

4/1/2035

 

31410GDY6

 

FNMA POOL # 888519

 

 

 

 

 

2

 

1

 

75,074.39

 

101.983

 

80,211.48

 

76,363.56

 

75,132.89

 

5,078.59

 

241.26

 

 

 

2.356

 

2.691

 

Monthly

 

149.93

 

1,352.00

 

6/18/2007

 

1/1/2035

 

31410GDZ3

 

FNMA POOL # 888520

 

 

 

 

 

2

 

1

 

926,834.73

 

102.108

 

974,403.96

 

932,742.10

 

927,079.59

 

47,324.37

 

1,224.58

 

 

 

2.324

 

2.44

 

Monthly

 

1,806.41

 

17,695.00

 

6/18/2007

 

7/1/2033

 

31410GFD0

 

FNMA POOL # 888564

 

 

 

 

 

2

 

1

 

13,183,729.67

 

104.202

 

13,818,009.55

 

12,791,975.43

 

13,148,285.15

 

669,724.40

 

(121,892.08

)

 

 

5

 

3.596

 

Monthly

 

53,299.90

 

479,699.00

 

2/26/2009

 

10/1/2021

 

31410GPR8

 

FNMA POOL # 888832

 

 

 

 

 

2

 

1

 

6,345,752.32

 

106.7

 

6,811,616.00

 

6,102,601.76

 

6,337,982.53

 

473,633.47

 

(51,447.41

)

 

 

6.5

 

4.831

 

Monthly

 

33,055.76

 

297,502.00

 

1/25/2008

 

11/1/2037

 

31411DA33

 

FNMA POOL # 904626

 

 

 

 

 

2

 

1

 

1,457,243.50

 

103.88

 

1,506,604.63

 

1,450,331.76

 

1,456,825.70

 

49,778.93

 

(1,947.68

)

 

 

5.515

 

5.351

 

Monthly

 

6,665.48

 

59,972.00

 

12/13/2006

 

12/1/2036

 

31411GUY6

 

FNMA POOL # 907899

 

 

 

 

 

2

 

1

 

2,177,398.77

 

105.479

 

2,277,826.65

 

2,159,515.29

 

2,176,509.27

 

101,317.38

 

(4,097.26

)

 

 

5.693

 

5.44

 

Monthly

 

10,245.10

 

93,507.00

 

12/14/2006

 

1/1/2037

 

31411KCZ4

 

FNMA POOL # 910088

 

 

 

 

 

2

 

1

 

5,652,833.38

 

104.822

 

6,212,085.61

 

5,600,330.28

 

5,651,686.71

 

560,398.90

 

(8,317.64

)

 

 

6

 

5.535

 

Monthly

 

28,001.65

 

252,015.00

 

3/29/2007

 

3/1/2037

 

31411LEA5

 

FNMA POOL # 911029

 

 

 

 

 

2

 

1

 

462,785.18

 

0

 

473,552.96

 

436,589.79

 

461,034.84

 

12,518.12

 

(3,767.36

)

 

 

5.5

 

2.966

 

Monthly

 

2,001.04

 

18,009.00

 

9/29/2009

 

7/1/2022

 

31412LMG2

 

FNMA POOL # 928359

 

 

 

 

 

2

 

1

 

499,322.02

 

0

 

510,939.91

 

471,058.50

 

497,663.36

 

13,276.55

 

(10,377.78

)

 

 

5.5

 

2.419

 

Monthly

 

2,159.02

 

19,431.00

 

9/29/2009

 

5/1/2022

 

31412LQN3

 

FNMA POOL # 928461

 

 

 

 

 

2

 

 

 

607,009.44

 

108.466

 

621,132.95

 

572,650.42

 

604,827.73

 

16,305.22

 

(16,320.39

)

 

 

5.5

 

2.766

 

Monthly

 

2,624.65

 

23,622.00

 

9/29/2009

 

6/1/2022

 

31412LVF4

 

FNMA POOL # 928614

 

 

 

 

 

2

 

1

 

3,934,311.05

 

0

 

4,015,788.88

 

3,702,336.52

 

3,922,495.58

 

93,293.30

 

(89,894.34

)

 

 

5.5

 

2.474

 

Monthly

 

16,969.04

 

152,721.00

 

10/21/2009

 

8/1/2022

 

31412SRH0

 

FNMA POOL # 933488

 

 

 

 

 

2

 

1

 

1,624,440.21

 

0

 

1,662,656.13

 

1,547,546.50

 

1,620,061.04

 

42,595.09

 

(25,001.62

)

 

 

5

 

2.709

 

Monthly

 

6,448.11

 

58,033.00

 

9/29/2009

 

3/1/2023

 

31414ARA2

 

FNMA POOL # 960481

 

 

 

 

 

2

 

1

 

2,152,710.02

 

0

 

2,207,896.41

 

2,050,810.37

 

2,146,938.08

 

60,958.33

 

(29,849.52

)

 

 

5

 

2.581

 

Monthly

 

8,545.04

 

76,905.00

 

9/29/2009

 

12/1/2022

 

31414CRJ9

 

FNMA POOL # 962289

 

 

 

 

 

2

 

 

 

2,876,602.62

 

107.438

 

2,944,276.39

 

2,740,437.14

 

2,868,990.03

 

75,286.36

 

(36,930.53

)

 

 

5

 

2.652

 

Monthly

 

11,418.49

 

102,766.00

 

9/29/2009

 

3/1/2023

 

31414GD22

 

FNMA POOL # 965521

 

 

 

 

 

2

 

1

 

320,886.72

 

0

 

328,352.91

 

302,723.33

 

319,787.52

 

8,565.39

 

(8,633.30

)

 

 

5.5

 

2.858

 

Monthly

 

1,387.48

 

12,487.00

 

9/29/2009

 

12/1/2022

 

31414NB45

 

FNMA POOL # 970859

 

 

 

 

 

2

 

1

 

3,059,654.85

 

0

 

3,126,980.41

 

2,910,492.13

 

3,053,216.82

 

73,763.59

 

(48,625.31

)

 

 

5

 

2.613

 

Monthly

 

12,127.05

 

109,143.00

 

10/21/2009

 

12/1/2023

 

31414RB79

 

FNMA POOL # 973562

 

 

 

 

 

2

 

1

 

2,789,161.43

 

0

 

2,853,851.83

 

2,631,284.35

 

2,780,022.92

 

73,828.91

 

(86,695.06

)

 

 

5.5

 

2.834

 

Monthly

 

12,060.05

 

108,540.00

 

9/29/2009

 

3/1/2023

 

31415MDG7

 

FNMA POOL # 984003

 

 

 

 

 

2

 

1

 

5,008,570.52

 

103.51

 

5,667,834.79

 

5,159,319.37

 

5,011,856.56

 

655,978.23

 

40,111.35

 

 

 

5.5

 

6.48

 

Monthly

 

23,646.88

 

212,822.00

 

7/25/2008

 

6/1/2038

 

31415MFS9

 

FNMA POOL # 984077

 

 

 

 

 

2

 

1

 

2,140,149.08

 

0

 

2,190,497.37

 

2,038,844.03

 

2,134,289.75

 

56,207.62

 

(48,664.10

)

 

 

5

 

2.854

 

Monthly

 

8,495.18

 

76,457.00

 

9/29/2009

 

6/1/2023

 

31416B4M7

 

FNMA POOL # 995528

 

 

 

 

 

2

 

1

 

4,407,039.65

 

103.842

 

4,576,485.64

 

4,241,999.36

 

4,395,011.67

 

181,473.97

 

(51,941.75

)

 

 

5

 

3.122

 

Monthly

 

17,675.00

 

159,075.00

 

3/20/2009

 

12/1/2021

 

31416B4N5

 

FNMA POOL # 995529

 

 

 

 

 

2

 

1

 

7,257,829.44

 

108.466

 

7,582,051.46

 

6,990,234.51

 

7,239,434.49

 

342,616.97

 

(91,306.92

)

 

 

5.5

 

3.539

 

Monthly

 

32,038.58

 

288,347.00

 

2/27/2009

 

11/1/2022

 

31416B4P0

 

FNMA POOL # 995530

 

 

 

 

 

2

 

1

 

3,648,245.77

 

104.595

 

3,794,694.74

 

3,498,467.63

 

3,637,057.43

 

157,637.31

 

(51,990.53

)

 

 

5.5

 

3.486

 

Monthly

 

16,034.64

 

144,312.00

 

3/20/2009

 

12/1/2021

 

31416B7J1

 

FNMA POOL # 995597

 

 

 

 

 

2

 

1

 

416,306.94

 

0

 

425,993.31

 

392,742.41

 

415,167.78

 

10,825.53

 

(8,204.11

)

 

 

5.5

 

2.65

 

Monthly

 

1,800.07

 

16,201.00

 

9/29/2009

 

3/1/2024

 

31416BLV8

 

FNMA POOL # 995040

 

 

 

 

 

2

 

1

 

2,014,591.89

 

0

 

2,058,921.57

 

1,916,377.54

 

2,009,961.80

 

48,959.77

 

(49,878.35

)

 

 

5

 

2.635

 

Monthly

 

7,984.91

 

71,864.00

 

10/21/2009

 

6/1/2023

 

31416BSE9

 

FNMA POOL # 995217

 

 

 

 

 

2

 

1

 

3,344,786.74

 

0

 

3,419,674.80

 

3,152,752.12

 

3,335,794.43

 

83,880.37

 

(66,004.39

)

 

 

5.5

 

2.596

 

Monthly

 

14,450.11

 

130,051.00

 

10/21/2009

 

12/1/2023

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

31416CME3

 

FNMA POOL # 995957

 

 

 

 

 

2

 

1

 

7,888,488.78

 

0

 

8,054,587.11

 

7,496,948.91

 

7,874,202.04

 

180,385.07

 

(134,533.20

)

 

 

5

 

2.563

 

Monthly

 

31,237.29

 

281,136.00

 

9/28/2009

 

6/1/2024

 

31416TL49

 

FNMA POOL # AA9346

 

 

 

 

 

2

 

1

 

13,292,770.13

 

106.954

 

14,065,814.17

 

13,151,276.88

 

13,288,846.15

 

776,968.02

 

(9,390.26

)

 

 

4.5

 

4.245

 

Monthly

 

49,317.28

 

443,856.00

 

2/2/2010

 

8/1/2039

 

31419ESP5

 

FNMA POOL # AE4125

 

 

 

 

 

2

 

1

 

7,428,163.91

 

104.873

 

7,515,337.94

 

7,166,151.51

 

7,423,338.41

 

91,999.53

 

(21,712.85

)

 

 

4

 

3.086

 

Monthly

 

23,887.17

 

214,985.00

 

11/5/2010

 

10/1/2040

 

31737UAE8

 

FINANCE FOR DANISH IND SENIOR CORP BND

 

 

 

F

 

 

 

1FE

 

14,740,425.00

 

100.004

 

14,700,586.53

 

14,700,000.00

 

14,726,575.89

 

(25,989.36

)

(13,849.11

)

 

 

0.56056

 

0.382

 

M-J-S-D

 

5,722.39

 

57,906.00

 

2/14/2011

 

12/6/2012

 

32007UAF6

 

FIRST DATA CORPORATION TERM LOAN

 

 

 

 

 

2

 

4

 

 

74.75

 

 

 

 

 

 

 

 

#N/A

 

2.019

 

#N/A

 

 

56,802.00

 

6/2/2011

 

9/24/2014

 

32007UAL3

 

FIRST DATA CORPORATION TERM LOAN

 

 

 

 

 

 

 

4FE

 

 

80.792

 

 

 

 

 

 

 

 

#N/A

 

2.871

 

#N/A

 

 

6,325.00

 

8/23/2011

 

9/24/2016

 

32051GBD6

 

FHASI_04-AR6 WHOLE CMO 04-AR6

 

 

 

 

 

2

 

NR*Z*

 

155,236.87

 

89.56

 

142,077.18

 

158,638.93

 

155,680.51

 

(13,603.33

)

327.46

 

 

 

2.69697

 

3.272

 

Monthly

 

356.54

 

3,283.00

 

8/10/2007

 

12/25/2034

 

32113CAV2

 

FIRST NATIONAL MASTER NOTE TRU ABS

 

 

 

 

 

2

 

1FE

 

2,220,796.88

 

100.593

 

2,213,046.04

 

2,200,000.00

 

2,214,606.68

 

(1,560.64

)

(6,190.20

)

 

 

1.579

 

0.75

 

Monthly

 

1,543.91

 

11,517.00

 

5/27/2011

 

7/16/2012

 

341081EN3

 

FLORIDA POWER & LIGHT CO CORP BND

 

 

 

 

 

 

 

1FE

 

2,779,404.80

 

105.079

 

2,858,156.74

 

2,720,000.00

 

2,737,954.17

 

120,202.57

 

(9,664.82

)

 

 

4.85

 

4.335

 

Feb-Aug

 

21,986.67

 

131,920.00

 

4/25/2008

 

2/1/2013

 

34528QAH7

 

FORD CREDIT FLOORPLAN MASTER O ABS_09-2

 

 

 

 

 

2

 

1FE

 

6,803,019.54

 

101.011

 

6,767,737.00

 

6,700,000.00

 

6,782,836.54

 

(15,099.54

)

(20,183.00

)

 

 

1.779

 

0.983

 

Monthly

 

5,297.47

 

45,250.00

 

5/27/2011

 

9/15/2014

 

34528QAJ3

 

FORDF ABS 10-1 A 144A

 

 

 

 

 

2

 

1FE

 

4,591,757.81

 

101.39

 

4,562,550.00

 

4,500,000.00

 

4,570,104.74

 

(7,554.74

)

(21,653.07

)

 

 

1.879

 

0.926

 

Monthly

 

3,758.00

 

42,755.00

 

3/10/2011

 

12/15/2014

 

34528RAE2

 

FORDO ABS 09-A A3B

 

 

 

 

 

2

 

1FE

 

920,498.82

 

100.416

 

906,449.08

 

902,691.81

 

906,882.63

 

(433.55

)

(35,230.05

)

 

 

2.729

 

0.534

 

Monthly

 

1,094.86

 

18,732.00

 

6/9/2010

 

2/15/2012

 

34529LAD6

 

FORDO_10-A ABS 10-A-A3

 

 

 

 

 

2

 

1FE

 

1,840,317.11

 

100.35

 

1,847,095.50

 

1,840,653.21

 

1,840,531.64

 

6,563.86

 

131.70

 

 

 

1.32

 

1.333

 

Monthly

 

1,079.85

 

18,222.00

 

4/21/2010

 

6/15/2014

 

34529MAD4

 

FORDO_10-B ABS_10-B A4

 

 

 

 

 

2

 

1FE

 

899,948.88

 

101.486

 

913,372.35

 

900,000.00

 

899,965.43

 

13,406.92

 

11.14

 

 

 

1.58

 

1.587

 

Monthly

 

632.00

 

10,665.00

 

7/27/2010

 

9/15/2015

 

34529PAC9

 

FORDO_11-A ABS _11-A A3

 

 

 

 

 

2

 

1FE

 

3,499,517.70

 

100.302

 

3,510,566.33

 

3,500,000.00

 

3,499,662.42

 

10,903.91

 

144.72

 

 

 

0.97

 

0.978

 

Monthly

 

1,508.89

 

21,407.00

 

1/25/2011

 

1/15/2015

 

34529QAC7

 

FORDL_11-A ABS_11-A A3

 

 

 

 

 

2

 

1FE

 

3,599,883.00

 

100.167

 

3,606,012.00

 

3,600,000.00

 

3,599,891.21

 

6,120.79

 

8.21

 

 

 

1.03

 

1.033

 

Monthly

 

1,648.00

 

7,210.00

 

6/29/2011

 

7/15/2014

 

34529RAC5

 

FORDO_11-B ABS_11-B A3

 

 

 

 

 

2

 

1FE

 

7,228,794.04

 

100.133

 

7,239,615.90

 

7,230,000.00

 

7,228,887.90

 

10,728.00

 

93.86

 

 

 

0.84

 

0.849

 

Monthly

 

2,699.20

 

8,266.00

 

7/19/2011

 

6/15/2015

 

34539KAE4

 

FORD MOTOR COMPANY TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

98.786

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

3/16/2011

 

12/15/2013

 

35177PAS6

 

FRANCE TELECOM CORP BND

 

 

 

F

 

 

 

1FE

 

6,246,739.39

 

106.579

 

6,267,932.23

 

5,881,000.00

 

6,125,902.35

 

142,029.88

 

(63,231.90

)

 

 

4.375

 

2.801

 

Jan-Jul

 

59,320.50

 

257,294.00

 

4/14/2010

 

7/8/2014

 

35177PAU1

 

FRANCE TELECOM CORP BND

 

 

 

F

 

 

 

1FE

 

996,600.00

 

98.781

 

987,810.36

 

1,000,000.00

 

997,277.86

 

(9,467.50

)

668.92

 

 

 

2.125

 

2.197

 

Mar-Sep

 

885.42

 

21,250.00

 

9/7/2010

 

9/16/2015

 

354613AE1

 

FRANKLIN RESOURCES INC. CORP BND

 

 

 

 

 

 

 

1FE

 

1,974,114.25

 

101.366

 

2,001,979.65

 

1,975,000.00

 

1,974,512.41

 

27,467.24

 

217.47

 

 

 

2

 

2.015

 

May-Nov

 

14,373.61

 

19,750.00

 

5/19/2010

 

5/20/2013

 

36156HAV0

 

GCOE_06-1 ABS 06-1

 

 

 

 

 

2

 

 

 

1,795,000.00

 

90.59

 

1,811,800.00

 

2,000,000.00

 

1,800,188.16

 

11,611.84

 

5,188.16

 

 

 

0.44178

 

1.692

 

F-M-A-N

 

908.10

 

1,977.00

 

6/30/2011

 

5/25/2025

 

36186CBF9

 

ALLY FINANCIAL INC CORP BND GOVT GUAR

 

 

 

 

 

 

 

1FE

 

1,692,304.95

 

102.183

 

1,732,001.83

 

1,695,000.00

 

1,694,050.99

 

37,950.84

 

(21,307.58

)

 

 

2.2

 

2.247

 

Jun-Dec

 

10,461.92

 

18,645.00

 

6/3/2009

 

12/19/2012

 

36201YER3

 

GNMA POOL # 606844

 

 

 

 

 

2

 

1

 

1,447,748.30

 

110.39

 

1,525,187.61

 

1,381,634.91

 

1,446,069.30

 

79,118.31

 

(6,064.91

)

 

 

5

 

4.098

 

Monthly

 

5,756.81

 

51,811.00

 

4/23/2010

 

9/15/2033

 

36202E5P0

 

GNMA POOL # 004454

 

 

 

 

 

2

 

1

 

19,562.75

 

0

 

19,882.28

 

18,387.65

 

19,518.58

 

363.70

 

(206.79

)

 

 

4.5

 

2.33

 

Monthly

 

68.95

 

621.00

 

10/7/2010

 

6/20/2024

 

36202EVU0

 

GNMA POOL # 004227

 

 

 

 

 

2

 

1

 

38,254.08

 

0

 

38,577.81

 

35,956.24

 

38,167.45

 

410.36

 

(146.25

)

 

 

4.5

 

1.877

 

Monthly

 

134.84

 

1,214.00

 

10/7/2010

 

7/20/2023

 

36202FAE6

 

GNMA POOL # 004505

 

 

 

 

 

2

 

1

 

64,660.46

 

0

 

65,733.33

 

60,776.47

 

64,519.97

 

1,213.36

 

(848.81

)

 

 

4.5

 

2.262

 

Monthly

 

227.91

 

2,051.00

 

10/7/2010

 

8/20/2024

 

36202FBR6

 

GNMA POOL # 004548

 

 

 

 

 

2

 

1

 

39,981.37

 

0

 

40,644.76

 

37,579.79

 

39,895.97

 

748.79

 

(410.54

)

 

 

4.5

 

2.271

 

Monthly

 

140.92

 

1,268.00

 

10/7/2010

 

10/20/2024

 

36202FD78

 

GNMA POOL # 004626

 

 

 

 

 

2

 

1

 

1,784,855.67

 

0

 

1,814,424.58

 

1,677,643.74

 

1,781,113.13

 

33,311.45

 

(14,008.74

)

 

 

4.5

 

2.35

 

Monthly

 

6,291.16

 

56,621.00

 

10/7/2010

 

2/20/2025

 

36202FET9

 

GNMA POOL # 004646

 

 

 

 

 

2

 

1

 

279,718.73

 

0

 

284,352.71

 

262,916.71

 

279,139.72

 

5,212.99

 

(2,225.63

)

 

 

4.5

 

2.336

 

Monthly

 

985.94

 

8,873.00

 

10/7/2010

 

3/20/2025

 

36202FF43

 

GNMA POOL # 004687

 

 

 

 

 

2

 

1

 

784,116.69

 

0

 

797,106.80

 

737,016.71

 

782,521.57

 

14,585.23

 

(6,775.87

)

 

 

4.5

 

2.374

 

Monthly

 

2,763.81

 

24,874.00

 

10/7/2010

 

5/20/2025

 

36202FFH4

 

GNMA POOL # 004668

 

 

 

 

 

2

 

1

 

1,116,141.51

 

0

 

1,134,632.14

 

1,049,097.62

 

1,113,873.40

 

20,758.74

 

(9,083.30

)

 

 

4.5

 

2.332

 

Monthly

 

3,934.12

 

35,407.00

 

10/7/2010

 

4/20/2025

 

36202KME2

 

GNMA POOL # 008457

 

 

 

 

 

2

 

1

 

506,573.71

 

102.84

 

512,636.98

 

499,548.80

 

505,888.50

 

6,748.48

 

(917.80

)

 

 

2.625

 

2.254

 

Monthly

 

1,092.76

 

9,835.00

 

3/18/2009

 

7/20/2024

 

36204J4C7

 

GNMA POOL # 371719

 

 

 

 

 

2

 

1

 

312,437.95

 

106.75

 

332,011.26

 

294,059.24

 

309,905.06

 

22,106.20

 

(7,853.69

)

 

 

6.5

 

5.288

 

Monthly

 

1,592.82

 

14,335.00

 

9/11/2008

 

4/15/2024

 

36204SV60

 

GNMA POOL # 378737

 

 

 

 

 

2

 

1

 

410,644.77

 

107.235

 

437,963.55

 

386,489.18

 

407,416.93

 

30,546.62

 

(2,369.78

)

 

 

6.5

 

5.197

 

Monthly

 

2,093.48

 

18,841.00

 

9/11/2008

 

1/15/2024

 

36205BKY7

 

GNMA POOL # 385611

 

 

 

 

 

2

 

1

 

457,572.46

 

106.75

 

486,238.04

 

430,656.44

 

454,099.63

 

32,138.41

 

(5,919.28

)

 

 

6.5

 

5.196

 

Monthly

 

2,332.72

 

20,994.00

 

9/11/2008

 

4/15/2024

 

3620A2KC9

 

GNMA POOL # 716791

 

 

 

 

 

2

 

1

 

1,811,925.88

 

0

 

1,842,666.37

 

1,713,911.56

 

1,807,467.18

 

35,199.19

 

(17,983.06

)

 

 

5

 

2.782

 

Monthly

 

7,141.30

 

64,272.00

 

9/29/2009

 

4/15/2024

 

3620A32R4

 

GNMA POOL # 718184

 

 

 

 

 

2

 

1

 

111,642.17

 

0

 

113,456.98

 

104,905.28

 

111,421.28

 

2,035.70

 

(1,383.93

)

 

 

4.5

 

2.126

 

Monthly

 

393.39

 

3,540.00

 

10/7/2010

 

3/15/2025

 

3620A5FJ3

 

GNMA POOL # 719369

 

 

 

 

 

2

 

1

 

1,331,540.67

 

0

 

1,349,223.85

 

1,247,527.49

 

1,328,767.00

 

20,456.85

 

(4,724.15

)

 

 

4.5

 

2.109

 

Monthly

 

4,678.23

 

42,104.00

 

8/31/2010

 

4/15/2025

 

3620A6AC1

 

GNMA POOL # 720103

 

 

 

 

 

2

 

1

 

810,223.28

 

100.142

 

871,706.94

 

796,288.23

 

809,739.56

 

61,967.38

 

(955.36

)

 

 

4.5

 

4.245

 

Monthly

 

2,986.08

 

26,875.00

 

6/18/2009

 

6/15/2039

 

3620A6DZ7

 

GNMA POOL # 720220

 

 

 

 

 

2

 

 

 

1,610,751.94

 

107.512

 

1,648,801.72

 

1,533,593.04

 

1,606,210.03

 

42,591.69

 

(18,535.87

)

 

 

5

 

3.378

 

Monthly

 

6,389.97

 

57,510.00

 

7/29/2009

 

7/15/2024

 

3620A7R64

 

GNMA POOL # 721509

 

 

 

 

 

2

 

1

 

504,740.64

 

0

 

512,945.53

 

474,282.79

 

503,652.48

 

9,293.05

 

(2,981.12

)

 

 

4.5

 

2.451

 

Monthly

 

1,778.56

 

16,007.00

 

10/7/2010

 

2/15/2025

 

3620A7RQ0

 

GNMA POOL # 721495

 

 

 

 

 

2

 

1

 

638,283.93

 

0

 

648,659.64

 

599,767.59

 

636,860.80

 

11,798.84

 

(5,041.98

)

 

 

4.5

 

2.527

 

Monthly

 

2,249.13

 

20,242.00

 

10/7/2010

 

1/15/2025

 

3620A9MU2

 

GNMA POOL # 723171

 

 

 

 

 

2

 

1

 

64,857.70

 

108.128

 

65,897.73

 

60,943.95

 

64,718.70

 

1,179.03

 

(601.90

)

 

 

4.5

 

2.284

 

Monthly

 

228.54

 

2,057.00

 

10/7/2010

 

10/15/2024

 

3620A9QJ3

 

GNMA POOL # 723257

 

 

 

 

 

2

 

1

 

940,978.77

 

0

 

956,067.96

 

884,196.75

 

938,925.32

 

17,142.64

 

(10,953.23

)

 

 

4.5

 

2.316

 

Monthly

 

3,315.74

 

29,842.00

 

10/7/2010

 

9/15/2024

 

3620A9WS6

 

GNMA POOL # 723457

 

 

 

 

 

2

 

1

 

800,469.81

 

0

 

813,305.87

 

752,166.62

 

798,708.30

 

14,597.57

 

(9,038.42

)

 

 

4.5

 

2.453

 

Monthly

 

2,820.62

 

25,386.00

 

10/7/2010

 

12/15/2024

 

3620A9WW7

 

GNMA POOL # 723461

 

 

 

 

 

2

 

1

 

473,522.25

 

0

 

481,115.48

 

444,948.23

 

472,522.73

 

8,592.75

 

(3,901.32

)

 

 

4.5

 

2.301

 

Monthly

 

1,668.56

 

15,017.00

 

10/7/2010

 

12/15/2024

 

3620A9ZN4

 

GNMA POOL # 723549

 

 

 

 

 

2

 

1

 

1,156,678.80

 

0

 

1,175,481.37

 

1,086,880.67

 

1,154,120.30

 

21,361.07

 

(7,213.04

)

 

 

4.5

 

2.502

 

Monthly

 

4,075.80

 

36,682.00

 

10/7/2010

 

1/15/2025

 

3620ADCM2

 

GNMA POOL # 726476

 

 

 

 

 

2

 

1

 

11,982,688.14

 

0

 

12,299,439.78

 

11,374,844.85

 

11,950,607.23

 

348,832.55

 

(154,181.30

)

 

 

4.5

 

2.613

 

Monthly

 

42,655.67

 

383,901.00

 

12/8/2009

 

11/15/2024

 

3620AFY35

 

GNMA POOL # 728930

 

 

 

 

 

2

 

1

 

137,543.04

 

0

 

139,748.64

 

129,243.21

 

137,249.12

 

2,499.52

 

(1,737.88

)

 

 

4.5

 

2.349

 

Monthly

 

484.66

 

4,362.00

 

10/7/2010

 

12/15/2024

 

3620AKQR0

 

GNMA POOL # 732264

 

 

 

 

 

2

 

1

 

320,694.27

 

0

 

325,907.37

 

301,342.44

 

319,989.81

 

5,917.56

 

(4,841.88

)

 

 

4.5

 

2.573

 

Monthly

 

1,130.03

 

10,170.00

 

10/7/2010

 

4/15/2025

 

3620AKR57

 

GNMA POOL # 732308

 

 

 

 

 

2

 

1

 

94,662.67

 

0

 

96,201.48

 

88,950.39

 

94,477.68

 

1,723.80

 

(2,322.73

)

 

 

4.5

 

2.105

 

Monthly

 

333.56

 

3,002.00

 

10/7/2010

 

4/15/2025

 

3620AL5N0

 

GNMA POOL # 733553

 

 

 

 

 

2

 

1

 

764,711.01

 

0

 

777,141.90

 

718,565.63

 

763,163.47

 

13,978.43

 

(7,024.69

)

 

 

4.5

 

2.281

 

Monthly

 

2,694.62

 

24,252.00

 

10/7/2010

 

4/15/2025

 

3620AQ5X7

 

GNMA POOL # 737162

 

 

 

 

 

2

 

1

 

424,990.52

 

0

 

431,899.03

 

399,345.09

 

424,068.84

 

7,830.19

 

(3,040.21

)

 

 

4.5

 

2.534

 

Monthly

 

1,497.54

 

13,478.00

 

10/7/2010

 

4/15/2025

 

3620AQ6A6

 

GNMA POOL # 737165

 

 

 

 

 

2

 

1

 

1,685,464.13

 

0

 

1,712,862.46

 

1,583,757.22

 

1,681,959.78

 

30,902.68

 

(14,104.93

)

 

 

4.5

 

2.391

 

Monthly

 

5,939.09

 

53,452.00

 

10/7/2010

 

4/15/2025

 

3620AQG72

 

GNMA POOL # 736522

 

 

 

 

 

2

 

1

 

798,828.06

 

0

 

811,813.54

 

750,623.93

 

797,179.99

 

14,633.55

 

(17,237.60

)

 

 

4.5

 

2.361

 

Monthly

 

2,814.84

 

25,334.00

 

10/7/2010

 

4/15/2025

 

3620AQHC0

 

GNMA POOL # 736527

 

 

 

 

 

2

 

1

 

374,428.90

 

0

 

380,515.49

 

351,834.53

 

373,653.90

 

6,861.59

 

(7,382.97

)

 

 

4.5

 

2.374

 

Monthly

 

1,319.38

 

11,874.00

 

10/7/2010

 

4/15/2025

 

3620AQXC2

 

GNMA POOL # 736975

 

 

 

 

 

2

 

1

 

579,501.11

 

0

 

588,921.29

 

544,531.95

 

578,286.39

 

10,634.90

 

(5,389.16

)

 

 

4.5

 

2.349

 

Monthly

 

2,041.99

 

18,378.00

 

10/7/2010

 

2/15/2025

 

3620AWE48

 

GNMA POOL # 741855

 

 

 

 

 

2

 

1

 

313,470.70

 

0

 

318,566.36

 

294,554.75

 

312,791.98

 

5,774.38

 

(6,786.97

)

 

 

4.5

 

2.56

 

Monthly

 

1,104.58

 

9,941.00

 

10/7/2010

 

5/15/2025

 

3620AWE63

 

GNMA POOL # 741857

 

 

 

 

 

2

 

1

 

254,310.11

 

0

 

258,444.11

 

238,964.15

 

253,773.64

 

4,670.47

 

(3,179.73

)

 

 

4.5

 

2.477

 

Monthly

 

896.12

 

8,065.00

 

10/7/2010

 

5/15/2025

 

36210B4N2

 

GNMA POOL # 487829

 

 

 

 

 

2

 

1

 

522,859.93

 

102.844

 

546,241.73

 

505,178.69

 

521,521.40

 

24,720.33

 

(5,525.68

)

 

 

4.5

 

3.339

 

Monthly

 

1,894.42

 

17,050.00

 

3/26/2009

 

4/15/2024

 

36210B4Q5

 

GNMA POOL # 487831

 

 

 

 

 

2

 

1

 

162,918.86

 

0

 

165,682.91

 

154,105.95

 

162,525.94

 

3,156.97

 

(959.46

)

 

 

5

 

2.747

 

Monthly

 

642.11

 

5,779.00

 

9/29/2009

 

4/15/2024

 

36210B4R3

 

GNMA POOL # 487832

 

 

 

 

 

2

 

1

 

585,140.40

 

104.229

 

602,007.78

 

559,942.98

 

583,434.49

 

18,573.29

 

(4,458.50

)

 

 

5

 

3.323

 

Monthly

 

2,333.10

 

20,998.00

 

3/26/2009

 

4/15/2024

 

36210BZH1

 

GNMA POOL # 487744

 

 

 

 

 

2

 

1

 

778,014.32

 

0

 

791,213.84

 

735,928.42

 

776,015.17

 

15,198.67

 

(4,927.12

)

 

 

5

 

2.833

 

Monthly

 

3,066.37

 

27,597.00

 

9/29/2009

 

3/15/2024

 

36210BZJ7

 

GNMA POOL # 487745

 

 

 

 

 

2

 

1

 

663,083.63

 

0

 

674,333.26

 

627,214.77

 

661,410.22

 

12,923.04

 

(6,783.20

)

 

 

5

 

2.802

 

Monthly

 

2,613.39

 

23,521.00

 

9/29/2009

 

3/15/2024

 

36211V6Q8

 

GNMA POOL # 524779

 

 

 

 

 

2

 

1

 

354,419.46

 

104.229

 

364,908.83

 

339,411.12

 

353,279.75

 

11,629.08

 

(6,384.08

)

 

 

5

 

3.501

 

Monthly

 

1,414.21

 

12,728.00

 

3/26/2009

 

1/15/2024

 

36225BPY8

 

GNMA POOL # 781339

 

 

 

 

 

2

 

1

 

315,530.14

 

114.125

 

326,250.28

 

285,871.00

 

314,015.90

 

12,234.38

 

(4,517.79

)

 

 

8

 

5.654

 

Monthly

 

1,905.81

 

17,152.00

 

3/7/2008

 

9/15/2031

 

36225C5S1

 

GNMA POOL # 080856

 

 

 

 

 

2

 

1

 

9,534,202.02

 

0

 

9,596,887.94

 

9,313,017.84

 

9,531,247.94

 

65,640.00

 

(16,145.19

)

 

 

1.75

 

1.311

 

Monthly

 

13,581.48

 

82,459.00

 

3/2/2011

 

3/20/2034

 

36225C6Y7

 

GNMA POOL # 080886

 

 

 

 

 

2

 

1

 

9,815,592.41

 

102.62

 

9,827,083.84

 

9,576,187.72

 

9,812,420.34

 

14,663.50

 

(18,858.81

)

 

 

1.75

 

1.288

 

Monthly

 

13,965.27

 

87,782.00

 

3/2/2011

 

4/20/2034

 

36225CD29

 

GNMA POOL # 080120

 

 

 

 

 

2

 

1

 

427,776.09

 

101.02

 

433,994.92

 

423,409.68

 

427,491.93

 

6,502.99

 

(315.61

)

 

 

2.125

 

1.851

 

Monthly

 

749.79

 

7,101.00

 

3/18/2009

 

10/20/2027

 

36225DAS3

 

GNMA POOL # 080916

 

 

 

 

 

2

 

1

 

340,533.92

 

100.563

 

351,601.66

 

342,191.40

 

340,609.13

 

10,992.53

 

183.83

 

 

 

1.75

 

1.826

 

Monthly

 

499.03

 

4,741.00

 

4/17/2008

 

5/20/2034

 

36225DJA3

 

GNMA POOL # 081156

 

 

 

 

 

2

 

1

 

892,637.88

 

102.185

 

916,927.45

 

890,134.40

 

892,507.12

 

24,420.33

 

(244.91

)

 

 

1.75

 

1.686

 

Monthly

 

1,298.11

 

12,425.00

 

3/18/2009

 

11/20/2034

 

36225DJZ8

 

GNMA POOL # 081179

 

 

 

 

 

2

 

1

 

881,753.17

 

97.85

 

889,831.57

 

879,280.21

 

881,621.67

 

8,209.90

 

(300.85

)

 

 

1.75

 

1.688

 

Monthly

 

1,282.28

 

12,273.00

 

3/18/2009

 

12/20/2034

 

36225DLE2

 

GNMA POOL # 081224

 

 

 

 

 

2

 

1

 

560,979.12

 

99.1

 

584,903.03

 

563,621.10

 

561,059.14

 

23,843.89

 

286.57

 

 

 

1.75

 

1.829

 

Monthly

 

821.95

 

7,867.00

 

3/18/2009

 

1/20/2035

 

36225EVZ2

 

GNMA POOL # 082431

 

 

 

 

 

2

 

1

 

3,786,105.54

 

0

 

3,884,263.85

 

3,739,363.52

 

3,783,441.73

 

100,822.12

 

(3,506.02

)

 

 

3

 

2.909

 

Monthly

 

9,348.41

 

84,136.00

 

10/28/2009

 

12/20/2039

 

36225EWE8

 

GNMA POOL # 082444

 

 

 

 

 

2

 

1

 

808,856.16

 

0

 

833,606.94

 

792,025.60

 

808,580.01

 

25,026.93

 

(2,131.79

)

 

 

3.75

 

3.086

 

Monthly

 

2,475.08

 

22,276.00

 

11/3/2009

 

12/20/2039

 

362341RT8

 

GSAA WHOLE CMO 05-AR6 1A1

 

 

 

 

 

2

 

NR*Z*

 

195,330.70

 

92

 

181,490.79

 

197,272.60

 

195,517.45

 

(14,026.66

)

349.43

 

 

 

2.7556

 

3.025

 

Monthly

 

453.00

 

4,142.00

 

11/21/2007

 

9/25/2035

 

36241K6L7

 

GNMA POOL # 782675

 

 

 

 

 

2

 

1

 

88,474.41

 

0

 

89,893.17

 

83,135.56

 

88,277.70

 

1,615.47

 

(1,175.71

)

 

 

4.5

 

2.272

 

Monthly

 

311.76

 

2,806.00

 

10/7/2010

 

6/15/2024

 

36241KBP2

 

GNMA POOL # 781846

 

 

 

 

 

2

 

1

 

5,318,290.85

 

112.897

 

5,815,174.33

 

5,150,887.04

 

5,312,205.96

 

502,968.37

 

(28,255.66

)

 

 

6.5

 

5.782

 

Monthly

 

27,900.63

 

251,106.00

 

8/15/2008

 

9/15/2034

 

36241KEC8

 

GNMA POOL # 781931

 

 

 

 

 

2

 

1

 

3,711,928.86

 

107.628

 

4,059,358.82

 

3,595,088.48

 

3,707,840.05

 

351,518.77

 

(19,448.94

)

 

 

6.5

 

5.799

 

Monthly

 

19,473.39

 

175,261.00

 

8/15/2008

 

5/15/2035

 

36241KEH7

 

GNMA POOL # 781936

 

 

 

 

 

2

 

1

 

3,065,414.14

 

0

 

3,237,598.18

 

2,964,885.98

 

3,062,829.30

 

174,768.88

 

(15,334.81

)

 

 

4.5

 

3.949

 

Monthly

 

11,118.33

 

100,065.00

 

6/3/2010

 

6/15/2035

 

36241KGU6

 

GNMA POOL # 782011

 

 

 

 

 

2

 

 

 

231,875.10

 

110.097

 

249,823.63

 

226,911.27

 

231,725.79

 

18,097.84

 

(713.95

)

 

 

5

 

4.555

 

Monthly

 

945.46

 

8,509.00

 

7/14/2009

 

12/15/2035

 

36241KKB3

 

GNMA POOL # 782090

 

 

 

 

 

2

 

1

 

4,434,792.98

 

107.635

 

4,790,803.12

 

4,266,788.20

 

4,427,234.31

 

363,568.81

 

(32,210.36

)

 

 

6.5

 

5.653

 

Monthly

 

23,111.77

 

208,006.00

 

11/30/2007

 

5/15/2036

 

36241LHQ2

 

GNMA POOL # 782939

 

 

 

 

 

2

 

1

 

7,786,135.99

 

0

 

8,166,774.78

 

7,430,571.51

 

7,779,008.64

 

387,766.14

 

(55,280.33

)

 

 

5

 

4.139

 

Monthly

 

30,960.72

 

278,646.00

 

4/23/2010

 

9/15/2036

 

36241LN36

 

GNMA POOL # 783110

 

 

 

 

 

2

 

 

 

1,699,741.43

 

110.924

 

1,741,223.81

 

1,569,746.78

 

1,698,566.98

 

42,656.83

 

(26,286.79

)

 

 

5.5

 

3.335

 

Monthly

 

7,194.67

 

64,752.00

 

9/23/2010

 

4/15/2036

 

36290SJB8

 

GNMA POOL # 615958

 

 

 

 

 

2

 

1

 

8,757,451.64

 

0

 

9,225,883.17

 

8,357,530.72

 

8,746,469.99

 

479,413.18

 

(60,711.52

)

 

 

5

 

4.156

 

Monthly

 

34,823.04

 

313,407.00

 

4/23/2010

 

9/15/2033

 

36292DWW8

 

GNMA POOL # 646061

 

 

 

 

 

2

 

1

 

286,298.75

 

106.297

 

308,666.71

 

274,544.81

 

285,878.12

 

22,788.59

 

(1,568.94

)

 

 

6.5

 

5.118

 

Monthly

 

1,487.12

 

13,384.00

 

1/31/2008

 

11/15/2037

 

36295KAT0

 

GNMA POOL # 672418

 

 

 

 

 

2

 

1

 

182,371.95

 

112.429

 

196,620.29

 

174,884.69

 

182,104.12

 

14,516.17

 

(4,198.28

)

 

 

6.5

 

5.078

 

Monthly

 

947.29

 

8,526.00

 

1/31/2008

 

12/15/2037

 

36295P4L3

 

GNMA POOL # 676827

 

 

 

 

 

2

 

1

 

867,339.23

 

104.785

 

892,175.12

 

830,113.80

 

864,591.57

 

27,583.55

 

(12,373.85

)

 

 

5

 

3.246

 

Monthly

 

3,458.81

 

31,129.00

 

3/26/2009

 

5/15/2023

 

36295PZJ4

 

GNMA POOL # 676745

 

 

 

 

 

2

 

1

 

342,121.47

 

104.785

 

352,128.62

 

327,633.92

 

341,038.07

 

11,090.55

 

(4,129.16

)

 

 

5

 

3.246

 

Monthly

 

1,365.14

 

12,286.00

 

3/26/2009

 

3/15/2023

 

36295QJE1

 

GNMA POOL # 677161

 

 

 

 

 

2

 

1

 

1,627,592.38

 

104.785

 

1,666,844.46

 

1,550,895.74

 

1,622,838.27

 

44,006.19

 

(24,236.08

)

 

 

5

 

3.151

 

Monthly

 

6,462.07

 

58,159.00

 

4/27/2009

 

8/15/2023

 

36295TVQ4

 

GNMA POOL # 680223

 

 

 

 

 

2

 

1

 

160,346.75

 

106.297

 

172,874.30

 

153,763.72

 

160,112.31

 

12,761.99

 

(3,015.01

)

 

 

6.5

 

5.09

 

Monthly

 

832.89

 

7,496.00

 

1/31/2008

 

1/15/2038

 

36296A5Y6

 

GNMA POOL # 685863

 

 

 

 

 

2

 

1

 

171,601.90

 

0

 

174,297.73

 

161,246.82

 

171,138.81

 

3,158.92

 

(1,959.45

)

 

 

4.5

 

2.443

 

Monthly

 

604.68

 

5,442.00

 

10/7/2010

 

5/15/2023

 

36296DR67

 

GNMA POOL # 688209

 

 

 

 

 

2

 

 

 

158,250.88

 

107.476

 

162,031.16

 

150,759.98

 

157,868.53

 

4,162.63

 

(553.38

)

 

 

5

 

2.942

 

Monthly

 

628.17

 

5,653.00

 

7/29/2009

 

7/15/2023

 

36296E5H5

 

GNMA POOL # 689448

 

 

 

 

 

2

 

1

 

421,054.75

 

104.785

 

433,370.72

 

403,224.67

 

419,709.97

 

13,660.75

 

(4,458.21

)

 

 

5

 

3.36

 

Monthly

 

1,680.10

 

15,121.00

 

3/26/2009

 

7/15/2023

 

36296TPY3

 

GNMA POOL # 700739

 

 

 

 

 

2

 

1

 

856,657.88

 

105.631

 

880,469.98

 

811,337.09

 

853,343.81

 

27,126.17

 

(18,723.86

)

 

 

5.5

 

3.132

 

Monthly

 

3,718.63

 

33,468.00

 

6/3/2009

 

10/15/2023

 

36296U3C2

 

GNMA POOL # 701995

 

 

 

 

 

2

 

1

 

838,219.13

 

104.785

 

862,737.27

 

802,723.70

 

836,068.32

 

26,668.95

 

(2,089.27

)

 

 

5

 

2.994

 

Monthly

 

3,344.68

 

30,102.00

 

3/26/2009

 

1/15/2024

 

36296UC73

 

GNMA POOL # 701294

 

 

 

 

 

2

 

1

 

388,565.01

 

104.229

 

399,646.33

 

371,721.37

 

387,422.20

 

12,224.13

 

(1,198.48

)

 

 

5

 

3.246

 

Monthly

 

1,548.84

 

13,940.00

 

3/27/2009

 

1/15/2024

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

36296URS1

 

GNMA POOL # 701697

 

 

 

 

 

2

 

1

 

1,151,626.67

 

0

 

1,171,164.76

 

1,089,330.58

 

1,148,607.93

 

22,556.83

 

(16,572.31

)

 

 

5

 

2.843

 

Monthly

 

4,538.88

 

40,850.00

 

9/29/2009

 

2/15/2024

 

36296UUL2

 

GNMA POOL # 701787

 

 

 

 

 

2

 

1

 

911,474.54

 

104.229

 

945,524.58

 

879,456.82

 

909,483.70

 

36,040.88

 

(1,954.24

)

 

 

5

 

3.524

 

Monthly

 

3,664.40

 

32,980.00

 

6/11/2009

 

3/15/2024

 

36296UXG0

 

GNMA POOL # 701879

 

 

 

 

 

2

 

1

 

514,222.51

 

0

 

522,468.40

 

483,192.49

 

513,068.65

 

9,399.75

 

(7,961.52

)

 

 

4.5

 

2.269

 

Monthly

 

1,811.97

 

16,308.00

 

10/7/2010

 

5/15/2024

 

36296XHH0

 

GNMA POOL # 704132

 

 

 

 

 

2

 

1

 

205,775.95

 

0

 

209,196.80

 

194,644.69

 

205,273.79

 

3,923.01

 

(4,109.73

)

 

 

5

 

2.665

 

Monthly

 

811.02

 

7,299.00

 

9/29/2009

 

12/15/2023

 

36296XLY8

 

GNMA POOL # 704243

 

 

 

 

 

2

 

1

 

617,933.17

 

104.229

 

641,017.34

 

596,226.78

 

616,472.73

 

24,544.61

 

(1,468.52

)

 

 

5

 

3.63

 

Monthly

 

2,484.28

 

22,359.00

 

6/11/2009

 

1/15/2024

 

36296XWP5

 

GNMA POOL # 704554

 

 

 

 

 

2

 

1

 

3,433,211.54

 

104.229

 

3,563,615.36

 

3,314,610.64

 

3,425,658.41

 

137,956.95

 

(24,886.86

)

 

 

5

 

3.652

 

Monthly

 

13,810.88

 

124,298.00

 

6/11/2009

 

6/15/2024

 

36297A3K7

 

GNMA

 

 

 

 

 

2

 

1

 

753,514.60

 

104.229

 

775,815.55

 

721,606.07

 

751,429.09

 

24,386.46

 

(4,680.88

)

 

 

5

 

3.2

 

Monthly

 

3,006.69

 

27,060.00

 

3/26/2009

 

1/15/2024

 

36297AKC6

 

GNMA POOL # 705991

 

 

 

 

 

2

 

1

 

113,596.11

 

0

 

115,417.69

 

106,741.31

 

113,339.18

 

2,078.51

 

(784.91

)

 

 

4.5

 

2.132

 

Monthly

 

400.28

 

3,602.00

 

10/7/2010

 

1/15/2024

 

36297AKF9

 

GNMA POOL # 705994

 

 

 

 

 

2

 

1

 

848,771.68

 

0

 

863,171.64

 

802,858.22

 

846,700.78

 

16,470.86

 

(14,127.57

)

 

 

5

 

2.691

 

Monthly

 

3,345.24

 

30,107.00

 

9/29/2009

 

1/15/2024

 

36297CV22

 

GNMA POOL # 708133

 

 

 

 

 

2

 

1

 

79,072.38

 

0

 

80,340.36

 

74,300.87

 

78,889.05

 

1,451.31

 

(319.99

)

 

 

4.5

 

2.235

 

Monthly

 

278.63

 

2,508.00

 

10/7/2010

 

1/15/2024

 

36297DFF9

 

GNMA POOL # 708566

 

 

 

 

 

2

 

1

 

1,896,894.69

 

0

 

1,929,076.74

 

1,794,284.07

 

1,891,508.40

 

37,568.34

 

(15,698.58

)

 

 

5

 

3.021

 

Monthly

 

7,476.18

 

67,286.00

 

9/29/2009

 

4/15/2024

 

36297DP35

 

GNMA POOL # 708842

 

 

 

 

 

2

 

1

 

79,060.98

 

0

 

80,328.77

 

74,290.16

 

78,875.77

 

1,453.00

 

(1,287.96

)

 

 

4.5

 

2.421

 

Monthly

 

278.59

 

2,507.00

 

10/7/2010

 

5/15/2024

 

36297DTR8

 

GNMA POOL # 708960

 

 

 

 

 

2

 

1

 

1,425,879.15

 

104.229

 

1,468,079.39

 

1,365,498.53

 

1,421,696.10

 

46,383.29

 

(4,108.50

)

 

 

5

 

3.375

 

Monthly

 

5,689.58

 

51,206.00

 

3/26/2009

 

3/15/2024

 

36297G2R0

 

GNMA POOL # 711884

 

 

 

 

 

2

 

1

 

3,208,899.48

 

0

 

3,263,340.54

 

3,035,317.28

 

3,201,111.66

 

62,228.88

 

(19,947.08

)

 

 

5

 

2.758

 

Monthly

 

12,647.16

 

113,824.00

 

9/29/2009

 

4/15/2024

 

36297GCD0

 

GNMA POOL # 711168

 

 

 

 

 

2

 

1

 

1,142,753.39

 

0

 

1,161,329.60

 

1,073,795.58

 

1,140,420.21

 

20,909.39

 

(8,680.10

)

 

 

4.5

 

2.239

 

Monthly

 

4,026.73

 

36,241.00

 

10/7/2010

 

2/15/2025

 

36297JJ54

 

GNMA POOL # 713184

 

 

 

 

 

2

 

1

 

1,748,920.85

 

0

 

1,778,592.42

 

1,654,314.72

 

1,743,506.75

 

35,085.67

 

(7,477.23

)

 

 

5

 

3.154

 

Monthly

 

6,892.98

 

62,037.00

 

9/29/2009

 

4/15/2024

 

36297KZF1

 

GNMA POOL # 714542

 

 

 

 

 

2

 

1

 

546,014.85

 

104.229

 

566,241.64

 

526,675.97

 

544,530.36

 

21,711.28

 

(1,430.97

)

 

 

5

 

3.894

 

Monthly

 

2,194.48

 

19,750.00

 

6/11/2009

 

6/15/2024

 

36830HAC6

 

GE EQUIPMENT SMALL TICKET LLC ABS 11-1

 

 

 

 

 

2

 

1FE

 

1,699,745.68

 

100.708

 

1,712,036.00

 

1,700,000.00

 

1,699,802.05

 

12,233.95

 

56.37

 

 

 

1.45

 

1.46

 

Monthly

 

684.72

 

15,132.00

 

2/1/2011

 

1/21/2018

 

368710AG4

 

GENENTECH INC CORP BND

 

 

 

 

 

 

 

1FE

 

802,027.50

 

111.534

 

836,504.57

 

750,000.00

 

785,693.38

 

50,811.19

 

(6,550.48

)

 

 

4.75

 

3.4

 

Jan-Jul

 

7,520.83

 

35,625.00

 

10/29/2009

 

7/15/2015

 

369550AK4

 

GENERAL DYNAMICS CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

803,002.50

 

105.708

 

792,812.69

 

750,000.00

 

787,221.06

 

5,591.63

 

(15,781.44

)

 

 

4.25

 

1.153

 

May-Nov

 

12,041.67

 

15,938.00

 

1/14/2011

 

5/15/2013

 

369550AM0

 

GENERAL DYNAMICS CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

4,489,680.00

 

114.727

 

4,589,060.36

 

4,000,000.00

 

4,353,971.27

 

235,089.09

 

(64,067.97

)

 

 

5.375

 

2.94

 

Feb-Aug

 

27,472.22

 

215,000.00

 

2/17/2010

 

8/15/2015

 

369550AN8

 

GENERAL DYNAMICS CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

7,012,114.50

 

109.964

 

6,982,717.18

 

6,350,000.00

 

7,000,109.72

 

(17,392.54

)

(12,004.78

)

 

 

5.25

 

0.813

 

Feb-Aug

 

55,562.50

 

 

9/12/2011

 

2/1/2014

 

369550AS7

 

GENERAL DYNAMICS CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

3,025,890.00

 

100.327

 

3,009,797.97

 

3,000,000.00

 

3,025,496.16

 

(15,698.19

)

(393.84

)

 

 

1.375

 

1.111

 

Jan-Jul

 

9,052.08

 

 

9/7/2011

 

1/15/2015

 

36962G3T9

 

GE CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

104,630.90

 

104.814

 

104,814.22

 

100,000.00

 

102,161.33

 

2,652.89

 

(980.13

)

 

 

4.8

 

3.387

 

May-Nov

 

2,000.00

 

2,400.00

 

10/29/2009

 

5/1/2013

 

36962G4D3

 

GE CAPITAL CORP CORP BND MTN

 

 

 

 

 

 

 

1FE

 

261,337.50

 

111.72

 

279,300.12

 

250,000.00

 

259,575.79

 

19,724.33

 

(722.90

)

 

 

6

 

5.395

 

Feb-Aug

 

2,250.00

 

15,000.00

 

10/29/2009

 

8/7/2019

 

36962G4E1

 

GE CAPITAL CORP CORP BND

 

 

 

 

 

 

 

 

 

230,445.00

 

102.324

 

230,228.64

 

225,000.00

 

226,725.34

 

3,503.30

 

(1,463.11

)

 

 

3.5

 

2.599

 

Feb-Aug

 

1,050.00

 

7,875.00

 

10/20/2009

 

8/13/2012

 

36962G4Q4

 

GE CAPITAL CORP CORP BND MTN

 

 

 

 

 

 

 

1FE

 

5,015,736.32

 

100.231

 

5,011,544.05

 

5,000,000.00

 

5,010,950.11

 

593.94

 

(4,050.21

)

 

 

1.875

 

1.761

 

Mar-Sep

 

3,906.25

 

93,750.00

 

11/12/2010

 

9/16/2013

 

36962G4T8

 

GE CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

7,243,470.00

 

98.262

 

7,418,744.76

 

7,550,000.00

 

7,286,568.06

 

132,176.70

 

50,491.54

 

 

 

2.25

 

3.163

 

May-Nov

 

67,006.26

 

84,938.00

 

1/6/2011

 

11/9/2015

 

36962G5B6

 

GE CAPITAL CORP CORP BND MTN

 

 

 

 

 

 

 

1FE

 

5,000,000.00

 

97.61

 

4,880,500.05

 

5,000,000.00

 

5,000,000.00

 

(119,499.95

)

 

 

 

0.87575

 

0.924

 

J-A-J-O

 

10,460.35

 

11,675.00

 

4/4/2011

 

4/7/2014

 

36962G5C4

 

GENERAL ELECTRIC CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

1,999,620.00

 

99.785

 

1,995,702.66

 

2,000,000.00

 

1,999,652.46

 

(3,949.80

)

136.89

 

 

 

2.95

 

2.954

 

May-Nov

 

23,272.22

 

 

5/11/2011

 

5/9/2016

 

36962G5D2

 

GE CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

5,000,000.00

 

95.508

 

4,775,400.15

 

5,000,000.00

 

5,000,000.00

 

(224,599.85

)

 

 

 

1.14161

 

1.138

 

F-M-A-N

 

8,403.52

 

14,544.00

 

5/4/2011

 

5/9/2016

 

36962GK86

 

GE CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

1,589,400.00

 

107.189

 

1,607,829.78

 

1,500,000.00

 

1,562,707.51

 

45,122.27

 

(14,883.09

)

 

 

4.75

 

3.255

 

Mar-Sep

 

3,166.67

 

71,250.00

 

5/19/2010

 

9/15/2014

 

36962GZY3

 

GENERAL ELEC CAP CO CORP BND MTN

 

 

 

 

 

 

 

1FE

 

159,667.65

 

105.081

 

157,621.86

 

150,000.00

 

154,004.44

 

3,617.42

 

(2,258.74

)

 

 

5.45

 

3.314

 

Jan-Jul

 

1,725.84

 

8,175.00

 

10/29/2009

 

1/15/2013

 

36967HAD9

 

GENERAL ELECTRIC CAPITAL CORPO CORP BND

 

 

 

 

 

 

 

1FE

 

1,296,269.00

 

100.533

 

1,306,923.80

 

1,300,000.00

 

1,299,756.42

 

7,167.38

 

958.16

 

 

 

3

 

3.101

 

Jun-Dec

 

12,133.33

 

19,500.00

 

12/4/2008

 

12/9/2011

 

36967HAH0

 

GENERAL ELECTRIC CAPITAL CORPO CORP BND

 

 

 

 

 

 

 

1FE

 

3,255,096.00

 

101.363

 

3,294,297.50

 

3,250,000.00

 

3,251,094.53

 

43,202.97

 

(1,316.71

)

 

 

2.2

 

2.15

 

Jun-Dec

 

22,443.06

 

35,750.00

 

2/20/2009

 

6/8/2012

 

373334JM4

 

GEORGIA POWER COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

14,714,084.40

 

110.273

 

14,423,686.82

 

13,080,000.00

 

14,056,167.22

 

367,519.60

 

(338,708.97

)

 

 

6

 

2.311

 

May-Nov

 

327,000.00

 

392,400.00

 

4/9/2010

 

11/1/2013

 

373334JQ5

 

GEORGIA POWER COMPANY CORP BND

 

 

 

 

 

1

 

1FE

 

4,600,000.00

 

100.076

 

4,603,495.82

 

4,600,000.00

 

4,600,000.00

 

3,495.82

 

 

 

 

0.66711

 

0.576

 

M-J-S-D

 

1,363.87

 

21,213.00

 

3/9/2010

 

3/15/2013

 

373334JV4

 

GEORGIA POWER COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

3,399,082.00

 

105.881

 

3,599,937.27

 

3,400,000.00

 

3,399,156.47

 

200,780.80

 

74.47

 

 

 

3

 

3.006

 

Apr-Oct

 

45,900.00

 

 

4/12/2011

 

4/15/2016

 

377372AC1

 

GLAXOSK CAP INC CORP BND

 

 

 

 

 

 

 

1FE

 

17,941,735.50

 

106.506

 

18,026,201.94

 

16,925,000.00

 

17,401,511.90

 

624,690.04

 

(211,134.67

)

 

 

4.85

 

3.054

 

May-Nov

 

310,103.61

 

410,431.00

 

1/24/2011

 

5/15/2013

 

38141EA33

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

819,037.50

 

106.062

 

795,461.77

 

750,000.00

 

791,090.84

 

4,370.93

 

(11,161.00

)

 

 

6

 

3.755

 

May-Nov

 

18,750.00

 

22,500.00

 

10/29/2009

 

5/1/2014

 

38141EA74

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

1,739,374.40

 

98.591

 

1,695,758.96

 

1,720,000.00

 

1,736,444.15

 

(40,685.19

)

(7,984.80

)

 

 

3.7

 

3.431

 

Feb-Aug

 

10,606.67

 

64,170.00

 

1/5/2011

 

8/1/2015

 

38141GBU7

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

4,113,480.00

 

101.376

 

4,055,041.28

 

4,000,000.00

 

4,008,294.26

 

46,747.02

 

(21,125.12

)

 

 

6.6

 

5.859

 

Jan-Jul

 

55,733.33

 

264,000.00

 

8/14/2007

 

1/15/2012

 

38141GCG7

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

1,402,821.06

 

102.83

 

1,371,747.34

 

1,334,000.00

 

1,362,761.78

 

8,985.56

 

(22,742.50

)

 

 

5.7

 

3.294

 

Mar-Sep

 

6,336.50

 

76,038.00

 

5/28/2010

 

9/1/2012

 

38141GDB7

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

53,919.00

 

103.121

 

51,560.52

 

50,000.00

 

52,229.11

 

(668.59

)

(1,082.34

)

 

 

5.25

 

2.212

 

Apr-Oct

 

1,312.50

 

1,313.00

 

7/26/2010

 

4/1/2013

 

38141GEA8

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

12,578,850.00

 

103.585

 

12,430,217.28

 

12,000,000.00

 

12,535,916.70

 

(105,699.42

)

(54,613.25

)

 

 

5.125

 

3.665

 

Jan-Jul

 

129,833.33

 

256,250.00

 

8/16/2011

 

1/15/2015

 

38143UAB7

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

213,708.00

 

103.766

 

207,531.05

 

200,000.00

 

208,431.74

 

(900.69

)

(2,635.88

)

 

 

5.15

 

3.223

 

Jan-Jul

 

2,174.44

 

10,300.00

 

3/18/2010

 

1/15/2014

 

38143USB8

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

13,978,799.50

 

95.821

 

13,367,029.36

 

13,950,000.00

 

13,973,863.36

 

(606,834.00

)

(4,936.14

)

 

 

1.26825

 

1.235

 

F-M-A-N

 

26,538.15

 

87,621.00

 

7/12/2011

 

2/7/2014

 

38144LAC4

 

GOLDMAN SACHS GROUP INC CORP BND

 

 

 

 

 

 

 

1FE

 

5,092,400.00

 

103.127

 

5,156,327.05

 

5,000,000.00

 

5,024,385.12

 

131,941.93

 

(16,670.87

)

 

 

5.45

 

4.982

 

May-Nov

 

113,541.67

 

136,250.00

 

5/13/2008

 

11/1/2012

 

38146FAA9

 

GOLDMAN SACHS GROUP INC/THE-GT CORP BND

 

 

 

 

 

 

 

1FE

 

9,324,000.00

 

102.029

 

9,182,608.92

 

9,000,000.00

 

9,070,989.56

 

111,619.36

 

(87,763.67

)

 

 

3.25

 

2.116

 

Jun-Dec

 

86,125.00

 

146,250.00

 

2/20/2009

 

6/15/2012

 

38373MV23

 

GNR CMBS_08-45 A

 

 

 

 

 

2

 

1FE

 

201,977.35

 

100.31

 

199,027.22

 

198,412.14

 

198,759.92

 

267.30

 

(7,413.17

)

 

 

3.576

 

1.597

 

Monthly

 

591.27

 

5,321.00

 

12/15/2009

 

1/16/2012

 

38373YBQ6

 

GNMA CMO_02-79 LN

 

 

 

 

 

2

 

1

 

346,945.16

 

100.75

 

340,341.81

 

337,808.26

 

338,767.19

 

1,574.62

 

(8,794.24

)

 

 

5.5

 

3.266

 

Monthly

 

1,548.28

 

13,935.00

 

6/15/2009

 

3/20/2012

 

383742TU7

 

GNMA CMO 08-17 EH

 

 

 

 

 

2

 

1

 

2,840,869.19

 

104.46

 

2,824,997.83

 

2,704,382.38

 

2,824,092.50

 

905.33

 

(48,771.09

)

 

 

5.25

 

2.242

 

Monthly

 

11,831.67

 

70,990.00

 

3/15/2011

 

5/16/2015

 

38374C3K5

 

GOVERNMENT NATIONAL MORTGAGE A CMO_03-85

 

 

 

 

 

2

 

1

 

1,694,875.00

 

102.913

 

1,646,600.64

 

1,600,000.00

 

1,675,839.54

 

(29,238.90

)

(19,035.46

)

 

 

4.5

 

1.597

 

Monthly

 

6,000.00

 

30,000.00

 

4/26/2011

 

2/20/2015

 

38374CQ53

 

GNMA CMO_03-86 VJ

 

 

 

 

 

2

 

1

 

6,892,978.18

 

103.492

 

6,781,849.77

 

6,553,039.26

 

6,797,400.68

 

(15,550.91

)

(110,048.59

)

 

 

5.5

 

1.484

 

Monthly

 

30,034.77

 

120,139.00

 

5/13/2011

 

11/20/2013

 

38374EEE3

 

GNMA CMO_03-106 B

 

 

 

 

 

2

 

1

 

214,304.95

 

99.993

 

210,993.83

 

211,007.97

 

210,870.66

 

123.17

 

(1,695.44

)

 

 

5.5

 

4.244

 

Monthly

 

967.12

 

8,704.00

 

8/21/2008

 

1/20/2012

 

38374GRG9

 

GNMA CMO_04-38 VA

 

 

 

 

 

2

 

1

 

1,670,130.95

 

106.95

 

1,677,680.12

 

1,568,658.36

 

1,652,508.34

 

25,171.78

 

(34,414.73

)

 

 

5

 

1.314

 

Monthly

 

6,536.08

 

52,289.00

 

1/7/2011

 

2/20/2015

 

38374H7F1

 

GNMA AGENCY CMO 04-69-FG

 

 

 

 

 

2

 

1

 

3,150,294.46

 

100.33

 

3,157,730.06

 

3,147,343.83

 

3,149,431.24

 

8,298.82

 

(1,373.03

)

 

 

0.5305

 

0.472

 

Monthly

 

510.18

 

12,410.00

 

5/21/2010

 

4/20/2014

 

38374JUS3

 

GNMA CMO_04-82 MA

 

 

 

 

 

2

 

1

 

7,169,819.96

 

105.688

 

7,127,145.59

 

6,743,603.16

 

7,134,964.06

 

(7,818.47

)

(99,830.09

)

 

 

5

 

2.335

 

Monthly

 

28,098.34

 

168,590.00

 

3/9/2011

 

6/20/2017

 

38374VHH5

 

GNMA CMO_09-45 AB

 

 

 

 

 

2

 

1

 

754,241.36

 

100.476

 

726,612.92

 

723,167.75

 

725,727.42

 

885.50

 

(46,193.37

)

 

 

5

 

0.433

 

Monthly

 

3,013.20

 

27,119.00

 

1/28/2010

 

12/20/2011

 

38374VKJ7

 

GNMA CMO_09-45 BA

 

 

 

 

 

2

 

1

 

6,655,312.50

 

105.849

 

6,562,649.16

 

6,200,000.00

 

6,535,618.46

 

27,030.70

 

(119,694.04

)

 

 

5

 

1.449

 

Monthly

 

25,833.33

 

155,000.00

 

3/7/2011

 

12/20/2014

 

38375PXQ9

 

GNMA CMO 08-11 FB

 

 

 

 

 

2

 

1

 

1,936,960.03

 

99.775

 

1,927,782.42

 

1,932,129.71

 

1,936,918.25

 

(9,135.83

)

(1,014.55

)

 

 

0.8305

 

0.754

 

Monthly

 

490.30

 

11,966.00

 

3/8/2010

 

9/20/2037

 

38375XTH7

 

GNMA_08-72 CMO_08-72 V

 

 

 

 

 

2

 

1

 

4,940,897.33

 

103.207

 

4,810,709.35

 

4,661,223.90

 

4,823,887.92

 

(13,178.57

)

(70,603.76

)

 

 

6

 

0.127

 

Monthly

 

23,306.12

 

209,755.00

 

8/18/2010

 

2/20/2013

 

38376CUM9

 

GNMA CMO_09-79 PA

 

 

 

 

 

2

 

1

 

16,022,624.07

 

101.755

 

15,343,688.35

 

15,079,008.03

 

15,959,879.31

 

(616,190.96

)

(85,449.76

)

 

 

4.5

 

0.606

 

Monthly

 

56,546.28

 

56,546.00

 

8/2/2011

 

3/1/2015

 

38376GZ29

 

GNMA CMBS_11-096 AB

 

 

 

 

 

2

 

1

 

5,130,359.37

 

102.008

 

5,181,561.38

 

5,079,563.74

 

5,129,715.83

 

51,845.55

 

(847.91

)

 

 

2.1605

 

2.052

 

Monthly

 

9,145.33

 

18,291.00

 

7/7/2011

 

6/16/2031

 

38869CAG8

 

GRAPHIC PACKAGING INTL TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

97.938

 

 

 

 

 

 

 

 

#N/A

 

-0.028

 

#N/A

 

 

36,233.00

 

5/13/2011

 

5/16/2014

 

389376AM6

 

GRAY TELEVISION INC. TERM LOAN

 

 

 

 

 

2

 

1Z

 

 

95.125

 

 

 

 

 

 

 

 

#N/A

 

0.48

 

#N/A

 

 

96,225.00

 

8/22/2011

 

12/31/2014

 

39843QAG6

 

GRIFOLS SA LN1 TERM LOAN

 

 

 

R

 

1

 

 

 

 

97.982

 

 

 

 

 

 

 

 

#N/A

 

-0.519

 

#N/A

 

 

34,913.00

 

9/29/2011

 

6/1/2017

 

404122AG8

 

HCA INC TERM LOAN

 

 

 

 

 

2

 

3FE

 

 

96.821

 

 

 

 

 

 

 

 

#N/A

 

0.099

 

#N/A

 

 

20,071.00

 

5/16/2011

 

11/18/2013

 

40414LAB5

 

HEALTH CARE PROPERTY INVESTORS CORP BND

 

 

 

 

 

 

 

2FE

 

6,767,745.00

 

98.389

 

6,641,258.52

 

6,750,000.00

 

6,763,867.80

 

(122,609.28

)

(3,877.20

)

 

 

2.7

 

2.609

 

Feb-Aug

 

30,375.00

 

94,669.00

 

1/20/2011

 

2/1/2014

 

40429CFV9

 

HSBC FINANCE CORP CORP BND

 

 

 

 

 

 

 

1FE

 

9,139,665.00

 

94.294

 

8,957,929.90

 

9,500,000.00

 

9,275,302.07

 

(317,372.17

)

71,614.70

 

 

 

0.49925

 

1.592

 

J-A-J-O

 

10,276.24

 

38,892.00

 

4/26/2010

 

1/15/2014

 

41283KAC1

 

HDMOT_10-1 ABS 10-1 A3

 

 

 

 

 

2

 

1FE

 

1,099,844.68

 

100.416

 

1,104,576.00

 

1,100,000.00

 

1,099,908.72

 

4,667.28

 

59.73

 

 

 

1.16

 

1.17

 

Monthly

 

567.11

 

9,570.00

 

11/17/2010

 

2/15/2015

 

41283KAD9

 

HDMOT_10-1 ABS_10-1 A4

 

 

 

 

 

2

 

1FE

 

1,497,187.50

 

100.622

 

1,509,327.60

 

1,500,000.00

 

1,497,868.79

 

11,458.81

 

681.29

 

 

 

1.53

 

1.608

 

Monthly

 

1,020.00

 

15,300.00

 

2/2/2011

 

9/15/2015

 

41283LAA3

 

HARLEY-DAVIDSON FINANCIAL CORP BND 144A

 

 

 

 

 

 

 

2FE

 

2,248,650.00

 

103.412

 

2,326,773.15

 

2,250,000.00

 

2,248,815.34

 

77,957.81

 

165.34

 

 

 

3.875

 

3.888

 

Mar-Sep

 

3,875.00

 

46,258.00

 

3/1/2011

 

3/15/2016

 

41283NAC5

 

HARLEY DAVIDSON MOTORCYCLE TRU ABS_11-1

 

 

 

 

 

2

 

1FE

 

7,000,000.00

 

99.999

 

6,999,930.07

 

7,000,000.00

 

7,000,000.00

 

(69.93

)

 

 

 

0.429

 

0.429

 

Monthly

 

1,334.67

 

2,691.00

 

8/4/2011

 

10/15/2014

 

415864AK3

 

HARSCO CORPORATION CORP BND

 

 

 

 

 

 

 

2FE

 

8,486,765.00

 

102.703

 

8,729,764.95

 

8,500,000.00

 

8,490,919.55

 

238,845.40

 

4,154.55

 

 

 

2.7

 

2.727

 

Apr-Oct

 

105,825.00

 

53,813.00

 

6/2/2011

 

10/15/2015

 

419791YG7

 

HAWAII ST MUNI BND GO

 

 

 

 

 

 

 

1FE

 

2,007,940.00

 

104.213

 

2,084,259.94

 

2,000,000.00

 

2,005,455.40

 

78,804.54

 

(1,157.06

)

 

 

3

 

2.914

 

Feb-Aug

 

10,000.00

 

60,000.00

 

2/10/2010

 

2/1/2015

 

423074AL7

 

HEINZ H. J. COMPANY CORP BND

 

 

 

 

 

 

 

2FE

 

4,998,350.00

 

100.47

 

5,023,511.10

 

5,000,000.00

 

4,998,366.46

 

25,144.64

 

27.55

 

 

 

2

 

2.007

 

Mar-Sep

 

5,277.78

 

 

9/7/2011

 

9/12/2016

 

42330QAC9

 

HELIX ENERGY SOLUTIONS TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

96.5

 

 

 

 

 

 

 

 

#N/A

 

0.099

 

#N/A

 

 

28,329.00

 

2/22/2011

 

7/1/2013

 

42804VAL5

 

HERTZ CORPORATION THE TERM LOAN

 

 

 

 

 

1

 

3FE

 

 

94.775

 

 

 

 

 

 

 

 

#N/A

 

0.372

 

#N/A

 

 

11,425.00

 

8/17/2011

 

2/28/2018

 

428236AT0

 

HEWLETT-PACKARD COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

7,127,236.50

 

110.124

 

7,130,498.89

 

6,475,000.00

 

6,806,667.68

 

323,831.21

 

(96,196.44

)

 

 

6.125

 

3.884

 

Mar-Sep

 

33,049.49

 

396,594.00

 

10/26/2009

 

3/1/2014

 

428236AV5

 

HEWLETT-PACKARD COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

10,351,763.65

 

107.049

 

10,254,213.08

 

9,579,000.00

 

10,073,639.03

 

180,574.05

 

(132,424.08

)

 

 

4.75

 

2.73

 

Jun-Dec

 

150,403.61

 

227,501.00

 

4/9/2010

 

6/2/2014

 

428236BJ1

 

HEWLETT-PACKARD COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

8,105,000.00

 

97.167

 

7,875,385.35

 

8,105,000.00

 

8,105,000.00

 

(229,614.65

)

 

 

 

0.719

 

0.654

 

F-M-A-N

 

5,179.99

 

13,399.00

 

5/25/2011

 

5/30/2014

 

428236BK8

 

HEWLETT-PACKARD COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

2,099,391.00

 

99.292

 

2,085,136.64

 

2,100,000.00

 

2,099,457.90

 

(14,321.26

)

66.90

 

 

 

1.55

 

1.56

 

May-Nov

 

10,940.42

 

 

5/25/2011

 

5/30/2014

 

429827AB4

 

HEF_10-401 ABS 04-1 A2 144A

 

 

 

 

 

2

 

1FE

 

164,000.00

 

86.439

 

172,878.80

 

200,000.00

 

170,342.29

 

2,536.51

 

3,709.22

 

 

 

1.6720187

 

4.084

 

Monthly

 

9.37

 

2,233.00

 

9/10/2009

 

1/1/2044

 

429827AE8

 

HIGHER EDUCATION FUNDING HEF_0 ABS 04-1

 

 

 

 

 

2

 

1FE

 

164,000.00

 

86.439

 

172,878.80

 

200,000.00

 

169,485.00

 

3,393.80

 

2,930.43

 

 

 

1.67604

 

3.833

 

Monthly

 

167.60

 

2,589.00

 

9/10/2009

 

1/1/2044

 

429827AF5

 

HEF_10-401 ABS 04-1 A6 144A

 

 

 

 

 

2

 

1FE

 

164,000.00

 

86.439

 

172,878.80

 

200,000.00

 

169,333.49

 

3,545.31

 

3,351.33

 

 

 

1.758

 

3.827

 

Monthly

 

48.83

 

2,211.00

 

9/10/2009

 

1/1/2044

 

429827AJ7

 

HIGHER EDUCATION FUNDING HEF_0 ABS 04-1

 

 

 

 

 

2

 

1FE

 

164,224.00

 

86.439

 

172,878.80

 

200,000.00

 

169,098.40

 

3,780.40

 

2,754.14

 

 

 

1.67201

 

3.69

 

Monthly

 

265.69

 

2,175.00

 

9/10/2009

 

1/1/2044

 

429827AK4

 

HIGHER EDUCATION FUNDING HEF_0 ABS_04-1

 

 

 

 

 

2

 

1FE

 

164,196.00

 

86.439

 

172,878.80

 

200,000.00

 

168,458.37

 

4,420.43

 

2,182.85

 

 

 

1.67416

 

4.25

 

Monthly

 

275.20

 

2,143.00

 

9/10/2009

 

1/1/2044

 

429827AN8

 

HEF_04-1 ABS 04-1 A13 144A

 

 

 

 

 

2

 

1FE

 

164,000.00

 

86.439

 

172,878.80

 

200,000.00

 

168,092.00

 

4,786.80

 

2,285.89

 

 

 

1.67323

 

3.483

 

Monthly

 

183.37

 

2,238.00

 

9/10/2009

 

1/1/2044

 

429827AQ1

 

HEF_04-1 ABS 04-1 A15 144A

 

 

 

 

 

 

 

1FE

 

246,000.00

 

87.417

 

262,251.00

 

300,000.00

 

248,120.73

 

14,130.27

 

255.22

 

 

 

1.63836

 

2.421

 

Monthly

 

350.12

 

3,862.00

 

9/10/2009

 

1/1/2044

 

43812KAC7

 

HAROT_10-2 ABS 10-2 A3

 

 

 

 

 

2

 

1FE

 

3,721,476.68

 

100.459

 

3,739,014.04

 

3,721,930.38

 

3,721,752.53

 

17,261.51

 

166.04

 

 

 

1.34

 

1.349

 

Monthly

 

1,801.01

 

37,405.00

 

5/12/2010

 

5/20/2013

 

43813BAC6

 

HAROT_2010-3 ABS_10-3 A3

 

 

 

 

 

2

 

1FE

 

1,377,255.86

 

100.023

 

1,375,321.42

 

1,375,000.00

 

1,377,051.45

 

(1,730.03

)

(204.41

)

 

 

0.7

 

0.559

 

Monthly

 

267.36

 

802.00

 

8/18/2011

 

5/21/2013

 

43813TAD5

 

HAROT_11-1 ABS_11-1 A4

 

 

 

 

 

2

 

1FE

 

2,199,414.14

 

102.12

 

2,246,632.17

 

2,200,000.00

 

2,199,517.26

 

47,114.91

 

103.12

 

 

 

1.8

 

1.815

 

Monthly

 

1,760.00

 

22,110.00

 

2/17/2011

 

4/17/2017

 

438516AY2

 

HONEYWELL INTERNATIONAL INC CORP BND

 

 

 

 

 

 

 

1FE

 

526,105.00

 

106.91

 

534,549.11

 

500,000.00

 

515,863.71

 

18,685.40

 

(4,826.07

)

 

 

3.875

 

2.489

 

Feb-Aug

 

2,475.69

 

19,375.00

 

2/17/2010

 

2/15/2014

 

44328MAB0

 

HSBC BANK PLC CORP BND 144A

 

 

 

F

 

 

 

1FE

 

3,497,130.00

 

102.289

 

3,580,109.19

 

3,500,000.00

 

3,497,807.13

 

82,302.06

 

406.19

 

 

 

3.5

 

3.518

 

Jun-Dec

 

31,645.83

 

61,250.00

 

6/21/2010

 

6/28/2015

 

44328MAD6

 

HSBC BANK PLC CORP BOND 144A

 

 

 

F

 

 

 

1FE

 

7,042,386.00

 

99.218

 

6,994,862.73

 

7,050,000.00

 

7,045,225.49

 

(50,362.76

)

1,880.31

 

 

 

1.625

 

1.662

 

Feb-Aug

 

15,593.23

 

114,563.00

 

8/5/2010

 

8/12/2013

 

44920UAC2

 

HYUNDAI CAP SVC CORP BND 144A

 

 

 

F

 

 

 

2FE

 

2,982,210.00

 

99.228

 

2,976,826.71

 

3,000,000.00

 

2,984,182.92

 

(7,356.21

)

1,972.92

 

 

 

4.375

 

4.498

 

Jan-Jul

 

23,333.33

 

65,625.00

 

1/20/2011

 

7/27/2016

 

44923WAB7

 

HART ABS 10-A A2

 

 

 

 

 

2

 

1FE

 

672,350.76

 

100.02

 

672,526.19

 

672,391.71

 

672,388.62

 

137.57

 

111.24

 

 

 

0.86

 

0.867

 

Monthly

 

257.00

 

4,337.00

 

5/5/2010

 

11/15/2012

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

44923WAD3

 

HART ABS 10-A 4

 

 

 

 

 

2

 

1FE

 

8,149,863.90

 

103.634

 

8,446,135.14

 

8,150,000.00

 

8,149,813.19

 

296,321.95

 

(66.71

)

 

 

2.45

 

2.462

 

Monthly

 

8,874.44

 

149,756.00

 

5/5/2010

 

12/15/2016

 

44923YAC1

 

HART_10-B ABS 10-B A3

 

 

 

 

 

2

 

1FE

 

3,899,304.42

 

100.2

 

3,907,800.00

 

3,900,000.00

 

3,899,616.75

 

8,183.25

 

214.85

 

 

 

0.97

 

0.979

 

Monthly

 

1,681.34

 

28,373.00

 

8/19/2010

 

4/15/2015

 

44923YAD9

 

HART_10-B ABS_10-B A4

 

 

 

 

 

2

 

1FE

 

7,549,294.08

 

101.55

 

7,667,025.00

 

7,550,000.00

 

7,549,478.36

 

117,546.64

 

123.71

 

 

 

1.63

 

1.638

 

Monthly

 

5,469.56

 

92,299.00

 

8/19/2010

 

3/15/2017

 

44924EAB6

 

IBM INTL GROUP CAPITAL CORP BND

 

 

 

 

 

 

 

1FE

 

6,015,244.20

 

104.737

 

6,305,168.72

 

6,020,000.00

 

6,018,893.38

 

286,275.34

 

684.15

 

 

 

5.05

 

5.068

 

Apr-Oct

 

134,271.08

 

152,005.00

 

10/17/2007

 

10/22/2012

 

449786AN2

 

ING BANK INTERNATIONALE NEDERL CORP BND

 

 

 

F

 

 

 

1FE

 

2,375,000.00

 

98.298

 

2,334,577.43

 

2,375,000.00

 

2,375,000.00

 

(40,422.57

)

 

 

 

1.73683

 

1.652

 

M-J-S-D

 

2,520.82

 

10,023.00

 

6/1/2011

 

6/9/2014

 

45073CAF7

 

IASIS HLTHCARE CORP TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

93.4

 

 

 

 

 

 

 

 

#N/A

 

0.2

 

#N/A

 

 

46,868.00

 

8/19/2011

 

4/29/2018

 

4521518T3

 

ILLINOIS ST MUNI BND GO

 

 

 

 

 

 

 

1FE

 

3,144,919.00

 

101.73

 

3,153,630.09

 

3,100,000.00

 

3,119,391.02

 

34,239.07

 

(11,335.37

)

 

 

3.321

 

2.808

 

Jan-Jul

 

25,737.75

 

102,951.00

 

1/12/2010

 

1/1/2013

 

4521518V8

 

ILLINOIS ST MUNI BND GO

 

 

 

 

 

 

 

1FE

 

2,300,000.00

 

104.006

 

2,392,137.75

 

2,300,000.00

 

2,300,000.00

 

92,137.75

 

 

 

 

4.421

 

4.421

 

Jan-Jul

 

25,420.75

 

101,683.00

 

1/8/2010

 

1/1/2015

 

458140AH3

 

INTEL CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

1,797,246.00

 

100.714

 

1,812,855.65

 

1,800,000.00

 

1,797,257.93

 

15,597.72

 

11.93

 

 

 

1.95

 

1.982

 

Apr-Oct

 

1,170.00

 

 

9/14/2011

 

10/1/2016

 

45818WAE6

 

INTER-AMERICAN DEV BK CORP BND

 

 

 

F

 

 

 

1FE

 

5,679,368.80

 

101.107

 

5,661,992.11

 

5,600,000.00

 

5,667,437.58

 

(5,445.47

)

(11,931.22

)

 

 

0.74778

 

0.31

 

F-M-A-N

 

4,652.85

 

20,686.00

 

4/8/2011

 

5/20/2014

 

4581X0AF5

 

INTER-AMERICAN DEV BK CORP BND EMTN

 

 

 

F

 

 

 

1FE

 

7,418,582.14

 

105.435

 

7,591,320.36

 

7,200,000.00

 

7,347,136.49

 

244,183.87

 

(60,662.76

)

 

 

3.5

 

2.314

 

Jan-Jul

 

58,100.00

 

252,000.00

 

11/12/2010

 

7/8/2013

 

4581X0AT5

 

INTER-AMERICAN DEV BK CORP BND

 

 

 

F

 

 

 

1FE

 

16,616,493.09

 

104.662

 

16,306,340.07

 

15,580,000.00

 

15,995,010.09

 

311,329.98

 

(289,920.07

)

 

 

4.75

 

2.168

 

Apr-Oct

 

333,022.50

 

370,025.00

 

2/19/2010

 

10/19/2012

 

4581X0BM9

 

INTER-AMERICAN DEV BK CORP BND

 

 

 

F

 

 

 

1FE

 

998,720.00

 

102.172

 

1,021,719.97

 

1,000,000.00

 

999,256.10

 

22,463.87

 

305.74

 

 

 

1.625

 

1.667

 

Jan-Jul

 

3,430.56

 

16,250.00

 

5/26/2010

 

7/15/2013

 

459058AE3

 

INTL BANK FOR RECON & DEVELOP SENIOR

 

 

 

F

 

 

 

2FE

 

5,209,150.00

 

100.318

 

5,015,894.75

 

5,000,000.00

 

5,013,431.98

 

2,462.77

 

(81,964.49

)

 

 

3.125

 

0.918

 

May-Nov

 

59,027.78

 

78,125.00

 

12/10/2009

 

11/15/2011

 

459200GN5

 

IBM CORP CORP BND

 

 

 

 

 

 

 

1FE

 

3,209,710.75

 

111.279

 

3,227,077.06

 

2,900,000.00

 

3,049,169.45

 

177,907.61

 

(51,902.01

)

 

 

6.5

 

3.849

 

Apr-Oct

 

86,919.45

 

94,250.00

 

6/11/2009

 

10/15/2013

 

459200GR6

 

IBM CORP CORP BND

 

 

 

 

 

 

 

1FE

 

4,796,112.00

 

102.374

 

4,913,928.96

 

4,800,000.00

 

4,798,189.80

 

115,739.16

 

982.97

 

 

 

2.1

 

2.124

 

May-Nov

 

40,600.00

 

50,400.00

 

11/3/2009

 

5/6/2013

 

459200GT2

 

IBM CORP CORP BND

 

 

 

 

 

 

 

1FE

 

4,987,545.58

 

100.357

 

5,017,860.40

 

5,000,000.00

 

4,992,037.51

 

25,822.89

 

5,052.92

 

 

 

1

 

1.087

 

Feb-Aug

 

7,777.78

 

50,000.00

 

11/12/2010

 

8/5/2013

 

459200GW5

 

IBM CORP CORP BND

 

 

 

 

 

 

 

1FE

 

4,995,300.00

 

100.842

 

5,042,102.80

 

5,000,000.00

 

4,995,894.91

 

46,207.89

 

594.91

 

 

 

1.25

 

1.282

 

May-Nov

 

24,131.94

 

 

5/9/2011

 

5/12/2014

 

45950KAT7

 

INTERNATIONAL FINANCE CO CORP BND

 

 

 

F

 

 

 

1FE

 

4,683,362.00

 

102.501

 

4,922,545.37

 

4,700,000.00

 

4,694,352.31

 

228,193.06

 

2,497.38

 

 

 

3.5

 

3.577

 

May-Nov

 

62,144.45

 

82,250.00

 

4/21/2008

 

5/15/2013

 

45950KAZ3

 

INTERNATIONAL FINANCE CO CORP BND

 

 

 

F

 

 

 

1FE

 

9,756,880.00

 

106.102

 

10,079,690.48

 

9,500,000.00

 

9,654,249.56

 

425,440.92

 

(43,364.32

)

 

 

3

 

2.342

 

Apr-Oct

 

125,875.00

 

142,500.00

 

12/11/2009

 

4/22/2014

 

46262FAF9

 

IPAYMENT INC. TERM LOAN

 

 

 

 

 

1

 

 

 

 

97

 

 

 

 

 

 

 

 

#N/A

 

0.083

 

#N/A

 

 

18,138.00

 

5/3/2011

 

4/20/2017

 

46613BAB3

 

J CREW GROUP INC TERM LOAN

 

 

 

 

 

 

 

4FE

 

 

88.65

 

 

 

 

 

 

 

 

#N/A

 

0.514

 

#N/A

 

 

24,603.00

 

8/18/2011

 

2/1/2018

 

46623EJC4

 

JPMORGAN CHASE & CO CORP BND

 

 

 

 

 

 

 

1FE

 

1,647,101.20

 

99.887

 

1,638,146.82

 

1,640,000.00

 

1,644,978.68

 

(6,831.86

)

(1,831.13

)

 

 

1.11856

 

0.888

 

M-J-S-D

 

50.96

 

12,967.00

 

11/16/2010

 

9/30/2013

 

46623EJF7

 

JPMORGAN CHASE & CO CORP BND MTN

 

 

 

 

 

 

 

1FE

 

5,775,000.00

 

98.891

 

5,710,955.20

 

5,775,000.00

 

5,775,000.00

 

(64,044.80

)

 

 

 

1.053

 

1.103

 

J-A-J-O

 

11,486.48

 

31,777.00

 

1/14/2011

 

1/24/2014

 

46623EJH3

 

JPMORGAN CHASE & CO CORP BND MTN

 

 

 

 

 

 

 

1FE

 

7,152,775.00

 

98.484

 

7,041,606.07

 

7,150,000.00

 

7,152,466.23

 

(110,860.16

)

(405.11

)

 

 

1.09711

 

1.011

 

M-J-S-D

 

3,486.38

 

27,159.00

 

5/31/2011

 

5/2/2014

 

46625HCE8

 

JPMORGAN CHASE & CO CORP BND

 

 

 

 

 

 

 

1FE

 

182,024.50

 

105.808

 

185,163.33

 

175,000.00

 

179,669.24

 

5,494.09

 

(938.63

)

 

 

4.75

 

3.908

 

Mar-Sep

 

692.71

 

8,313.00

 

10/29/2009

 

3/1/2015

 

46625HGT1

 

JPMORGAN CHASE & CO CORP BND

 

 

 

 

 

 

 

1FE

 

5,222,250.00

 

104.338

 

5,216,895.30

 

5,000,000.00

 

5,051,571.77

 

165,323.53

 

(37,061.49

)

 

 

5.375

 

4.31

 

Apr-Oct

 

134,375.00

 

134,375.00

 

1/30/2008

 

10/1/2012

 

46625HHB9

 

JPMORGAN CHASE & CO CORP BND

 

 

 

 

 

 

 

1FE

 

7,647,350.00

 

104.978

 

7,873,319.40

 

7,500,000.00

 

7,581,619.82

 

291,699.58

 

(37,445.36

)

 

 

4.75

 

4.028

 

May-Nov

 

148,437.50

 

178,125.00

 

4/23/2010

 

5/1/2013

 

46625HHN3

 

JPMORGAN CHASE & CO CORP BND

 

 

 

 

 

 

 

1FE

 

3,390,096.00

 

106.114

 

3,395,632.80

 

3,200,000.00

 

3,316,293.54

 

79,339.26

 

(30,931.23

)

 

 

4.65

 

3.216

 

Jun-Dec

 

49,600.00

 

74,400.00

 

12/16/2009

 

6/1/2014

 

46625HHP8

 

JPMORGAN CHASE & CO CORP BND

 

 

 

 

 

 

 

1FE

 

8,568,850.00

 

102.659

 

8,725,975.14

 

8,500,000.00

 

8,548,607.89

 

177,367.25

 

(11,112.09

)

 

 

3.7

 

3.515

 

Jan-Jul

 

62,026.39

 

314,500.00

 

3/18/2010

 

1/20/2015

 

46625HHX1

 

JPMORGAN CHASE & CO CORP BND

 

 

 

 

 

 

 

1FE

 

9,080,410.00

 

99.998

 

8,999,863.38

 

9,000,000.00

 

9,075,177.42

 

(75,314.04

)

(5,232.58

)

 

 

3.45

 

3.245

 

Mar-Sep

 

25,875.00

 

161,288.00

 

5/16/2011

 

3/1/2016

 

46625HJC5

 

J.P. MORGAN CHASE SECURITIES I CORP BND

 

 

 

 

 

 

 

1FE

 

 

 

 

 

 

 

 

23.27

 

 

 

4.35

 

0

 

Feb-Aug

 

(398.76

)

 

8/3/2011

 

8/15/2021

 

47759FAB6

 

JO-ANN STORES TERM LOAN

 

 

 

 

 

 

 

4FE

 

 

92.458

 

 

 

 

 

 

 

 

#N/A

 

0.141

 

#N/A

 

 

63,999.00

 

3/15/2011

 

3/31/2018

 

477874AC5

 

JDOT_09 ABS 09 A3

 

 

 

 

 

2

 

1FE

 

231,130.09

 

100.378

 

229,325.76

 

228,461.72

 

229,065.81

 

259.95

 

(7,926.94

)

 

 

2.59

 

1.306

 

Monthly

 

262.98

 

4,438.00

 

5/13/2010

 

2/15/2012

 

47787AAD9

 

JDOT_10-A ABS 10-A-A3

 

 

 

 

 

2

 

1FE

 

876,952.88

 

100.36

 

880,236.93

 

877,079.44

 

877,026.85

 

3,210.08

 

58.20

 

 

 

1.32

 

1.33

 

Monthly

 

514.55

 

8,683.00

 

4/15/2010

 

5/15/2014

 

478160AP9

 

J & J MEDICAL CORP BND

 

 

 

R

 

 

 

1FE

 

1,056,318.58

 

103.97

 

1,039,701.60

 

1,000,000.00

 

1,028,170.82

 

11,530.78

 

(66,273.96

)

 

 

5.15

 

1.877

 

Feb-Aug

 

6,580.56

 

51,500.00

 

11/12/2010

 

8/15/2012

 

478160AW4

 

JOHNSON & JOHNSON CORP BND

 

 

 

 

 

 

 

1FE

 

122,861.25

 

106.217

 

132,771.34

 

125,000.00

 

123,069.40

 

9,701.94

 

776.47

 

 

 

2.95

 

3.15

 

Mar-Sep

 

307.29

 

3,831.00

 

8/12/2010

 

9/1/2020

 

478160AX2

 

JOHNSON & JOHNSON CORP BND

 

 

 

 

 

 

 

1FE

 

6,991,810.00

 

101.236

 

7,086,542.96

 

7,000,000.00

 

6,992,790.53

 

93,752.43

 

980.53

 

 

 

1.2

 

1.24

 

May-Nov

 

30,566.67

 

 

5/17/2011

 

5/15/2014

 

478366AY3

 

JOHNSON CONTROLS INC CORP BND

 

 

 

 

 

 

 

2FE

 

5,400,000.00

 

99.995

 

5,399,730.16

 

5,400,000.00

 

5,400,000.00

 

(269.84

)

 

 

 

0.67444

 

0.721

 

F-M-A-N

 

5,867.63

 

19,006.00

 

2/1/2011

 

2/4/2014

 

479403AB3

 

JOHNSTON RE LTD CORP BND 144A

 

 

 

 

 

 

 

3FE

 

5,000,000.00

 

102.243

 

5,112,150.00

 

5,000,000.00

 

5,000,000.00

 

112,150.00

 

 

 

 

6.515

 

0

 

M-J-S-D

 

20,811.81

 

247,480.00

 

4/30/2010

 

5/8/2013

 

479403AC1

 

JOHNSTON RE LTD CORP BND 144A

 

 

 

F

 

 

 

3FE

 

3,500,000.00

 

103.295

 

3,615,325.00

 

3,500,000.00

 

3,500,000.00

 

115,325.00

 

 

 

 

7.615

 

7.67

 

M-J-S-D

 

17,027.99

 

84,277.00

 

5/9/2011

 

5/8/2014

 

481247AE4

 

JPMORGAN CHASE & CO-GTD CORP BND GOVT

 

 

 

 

 

 

 

1FE

 

10,269,800.00

 

101.276

 

10,127,614.90

 

10,000,000.00

 

10,100,884.10

 

26,730.80

 

(103,791.79

)

 

 

2.125

 

0.725

 

Jun-Dec

 

58,437.50

 

106,250.00

 

7/7/2010

 

6/22/2012

 

481247AK0

 

JPMORGAN CHASE BANK NA - GTD CORP BND

 

 

 

 

 

 

 

1FE

 

2,523,434.50

 

101.336

 

2,558,744.33

 

2,525,000.00

 

2,524,649.55

 

34,094.78

 

366.71

 

 

 

2.2

 

2.22

 

Jun-Dec

 

16,356.39

 

27,775.00

 

2/18/2009

 

6/15/2012

 

48238NAC6

 

ADESA TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

10/21/2013

 

49328CAA3

 

KEYBANK NA - GTD CORP BND GOVT GUAR

 

 

 

 

 

 

 

1FE

 

2,088,898.00

 

102.03

 

2,040,592.90

 

2,000,000.00

 

2,026,391.05

 

14,201.85

 

(27,778.24

)

 

 

3.2

 

1.312

 

Jun-Dec

 

18,844.44

 

32,000.00

 

1/15/2010

 

6/15/2012

 

494550BG0

 

KINDER MORGAN ENERGY PARTNERS CORP BND

 

 

 

 

 

 

 

2FE

 

1,149,793.00

 

102.678

 

1,180,802.20

 

1,150,000.00

 

1,149,812.53

 

30,989.67

 

19.53

 

 

 

3.5

 

3.504

 

Mar-Sep

 

3,354.17

 

19,790.00

 

2/23/2011

 

3/1/2016

 

49925JAE7

 

KWKF_20-10 ABS 10-1 A

 

 

 

 

 

2

 

1FE

 

913,787.01

 

98.295

 

910,803.90

 

926,602.47

 

914,579.51

 

(3,775.61

)

1,177.76

 

 

 

1.26178

 

1.407

 

F-M-A-N

 

1,201.65

 

8,657.00

 

9/15/2010

 

2/25/2042

 

50075NAX2

 

KRAFT FOODS INC. CORP BND

 

 

 

 

 

 

 

2FE

 

2,609,190.00

 

111.686

 

2,512,940.42

 

2,250,000.00

 

2,496,142.70

 

16,797.72

 

(79,370.65

)

 

 

6.75

 

2.024

 

Feb-Aug

 

17,718.75

 

151,875.00

 

8/10/2010

 

2/19/2014

 

50075NBA1

 

KRAFT FOODS INC. CORP BND

 

 

 

 

 

 

 

2FE

 

3,433,860.00

 

112.872

 

3,386,148.60

 

3,000,000.00

 

3,427,462.46

 

(41,313.86

)

(6,397.54

)

 

 

5.375

 

3.402

 

Feb-Aug

 

22,843.75

 

80,625.00

 

8/4/2011

 

2/10/2020

 

50075NBB9

 

KRAFT FOODS INC. CORP BND

 

 

 

 

 

 

 

2FE

 

12,257,370.00

 

106.878

 

12,023,765.32

 

11,250,000.00

 

12,162,475.40

 

(138,710.08

)

(78,648.59

)

 

 

4.125

 

2.163

 

Feb-Aug

 

67,031.25

 

216,563.00

 

8/4/2011

 

2/9/2016

 

500769AX2

 

KREDITANSTALT FUER WIDERAUFBAU CORP BND

 

 

 

F

 

 

 

1FE

 

15,891,001.50

 

109.954

 

16,493,100.30

 

15,000,000.00

 

15,544,047.56

 

949,052.74

 

(126,686.79

)

 

 

4.125

 

2.87

 

Apr-Oct

 

285,312.50

 

309,375.00

 

8/31/2009

 

10/15/2014

 

500769DG6

 

KFW GROUP CORP BND GOVT GUAR

 

 

 

F

 

 

 

1FE

 

5,068,965.55

 

100.946

 

5,047,318.95

 

5,000,000.00

 

5,017,516.57

 

29,802.38

 

(29,738.93

)

 

 

2.25

 

1.597

 

Apr-Oct

 

51,562.50

 

56,250.00

 

2/19/2010

 

4/16/2012

 

500769EK6

 

KREDITANSTALT FUER WIDERAUFBAU CORP BND

 

 

 

F

 

 

 

1FE

 

10,674,685.00

 

102.106

 

10,721,130.32

 

10,500,000.00

 

10,660,103.10

 

61,027.22

 

(14,581.90

)

 

 

1.5

 

0.884

 

Apr-Oct

 

77,437.50

 

 

7/12/2011

 

4/4/2014

 

500769EM2

 

KREDITANSTALT FUER WIEDERAUFBA CORP BND

 

 

 

F

 

 

 

1

 

5,008,050.00

 

103.427

 

5,171,350.10

 

5,000,000.00

 

5,007,541.43

 

163,808.67

 

(508.57

)

 

 

2

 

1.966

 

Jun-Dec

 

33,333.33

 

 

5/27/2011

 

6/1/2016

 

500769EP5

 

KREDITANSTALT FUER WIDERAUFBAU CORP BND

 

 

 

F

 

 

 

1FE

 

14,500,000.00

 

99.948

 

14,492,459.71

 

14,500,000.00

 

14,500,000.00

 

(7,540.29

)

 

 

 

0.23994

 

0.195

 

Monthly

 

1,159.71

 

7,740.00

 

6/8/2011

 

6/17/2013

 

51218TAA5

 

LAKESIDE RE II LTD CORP BND 144A

 

 

 

F

 

 

 

3FE

 

9,750,000.00

 

103.807

 

10,121,182.50

 

9,750,000.00

 

9,750,000.00

 

371,182.50

 

 

 

 

7.75

 

7.895

 

M-J-S-D

 

2,098.96

 

573,056.00

 

12/18/2009

 

1/8/2013

 

515110BA1

 

LANDWIRTSCHAFTLICHE RENTENBANK CORP BND

 

 

 

F

 

 

 

1FE

 

2,844,043.50

 

101.252

 

2,885,681.97

 

2,850,000.00

 

2,848,014.65

 

37,667.32

 

1,483.70

 

 

 

1.875

 

1.947

 

Mar-Sep

 

1,039.06

 

53,438.00

 

9/15/2009

 

9/24/2012

 

515110BE3

 

LANDWIRTSCHAFTLICHE RENTENBANK CORP BND

 

 

 

F

 

 

 

 

 

1,396,374.00

 

103.514

 

1,449,196.11

 

1,400,000.00

 

1,396,586.56

 

52,609.55

 

212.56

 

 

 

2.125

 

2.179

 

Jan-Jul

 

6,280.56

 

3,719.00

 

5/23/2011

 

7/15/2016

 

52205VAA3

 

LEASEPLAN CORPORATION NV - GTD CORP BND

 

 

 

F

 

 

 

1FE

 

23,629,630.20

 

100.948

 

23,471,665.27

 

23,130,000.00

 

23,313,600.53

 

158,064.74

 

(244,881.01

)

 

 

3

 

1.665

 

May-Nov

 

277,560.00

 

346,950.00

 

10/28/2010

 

5/7/2012

 

52520MBU6

 

LMT WHOLE CMO 05-2

 

 

 

 

 

2

 

NR*Z*

 

572,657.99

 

99.607

 

570,832.72

 

573,087.25

 

570,809.57

 

23.15

 

4,586.19

 

 

 

5.5

 

5.499

 

Monthly

 

2,626.65

 

23,640.00

 

5/19/2008

 

12/25/2035

 

532457AU2

 

ELI LILLY AND COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

1,279,565.40

 

109.051

 

1,234,559.79

 

1,205,000.00

 

1,234,491.61

 

68.18

 

(45,073.79

)

 

 

6

 

0.617

 

Mar-Sep

 

3,213.33

 

72,300.00

 

1/13/2011

 

3/15/2012

 

532457BE7

 

ELI LILLY AND COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

2,087,017.00

 

107.983

 

2,051,681.24

 

1,900,000.00

 

2,036,698.51

 

14,982.73

 

(41,174.56

)

 

 

4.2

 

1.189

 

Mar-Sep

 

5,541.67

 

79,800.00

 

10/28/2010

 

3/6/2014

 

53803HAF7

 

LIVE NATION INC TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

96.708

 

 

 

 

 

 

 

 

#N/A

 

0.48

 

#N/A

 

 

 

9/30/2011

 

11/7/2016

 

539473AD0

 

LLOYDS TSB BANK PLC - GTD CORP BND GOVT

 

 

 

F

 

 

 

1FE

 

5,105,375.00

 

100.461

 

5,023,049.55

 

5,000,000.00

 

5,022,805.15

 

244.40

 

(33,774.36

)

 

 

1.24575

 

0.393

 

J-A-J-O

 

15,398.85

 

49,418.00

 

11/25/2009

 

4/2/2012

 

539830AX7

 

LOCKHEED MARTIN CORPORATION CORP BND

 

 

 

 

 

 

 

2FE

 

7,998,000.00

 

99.649

 

7,971,958.00

 

8,000,000.00

 

7,998,033.63

 

(26,075.63

)

33.63

 

 

 

2.125

 

2.13

 

Mar-Sep

 

10,388.89

 

 

9/23/2011

 

9/15/2016

 

55263ECH6

 

MBNA CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

352,687.50

 

96.24

 

332,066.61

 

330,000.00

 

336,872.33

 

(4,805.72

)

(3,440.03

)

 

 

6.125

 

4.59

 

Mar-Sep

 

1,684.38

 

20,213.00

 

1/30/2008

 

3/1/2013

 

55264TCX7

 

MBNAS ABS 05-A2

 

 

 

 

 

2

 

1FE

 

5,000,000.00

 

100

 

4,999,975.50

 

5,000,000.00

 

5,000,000.00

 

(24.50

)

 

 

 

0.309

 

0.309

 

Monthly

 

686.67

 

3,497.00

 

7/7/2011

 

10/15/2014

 

55607EAA8

 

MACQUARIE GROUP LTD -GTD CORP BND GOVT

 

 

 

F

 

 

 

1FE

 

4,678,890.29

 

106.859

 

4,808,655.05

 

4,500,000.00

 

4,605,824.37

 

202,830.68

 

(34,327.85

)

 

 

4.1

 

2.992

 

Jun-Dec

 

53,300.00

 

92,250.00

 

2/19/2010

 

12/17/2013

 

55607EAD2

 

MACQUARIE BANK LTD - GTD CORP BND GOVT

 

 

 

F

 

 

 

1FE

 

3,549,726.04

 

100.61

 

3,521,347.62

 

3,500,000.00

 

3,507,920.68

 

13,426.94

 

(19,550.16

)

 

 

2.6

 

1.843

 

Jan-Jul

 

17,947.22

 

91,000.00

 

2/19/2010

 

1/20/2012

 

57583PEM7

 

MASSACHUSETTS ST MUNITAX BND REV

 

 

 

 

 

 

 

 

 

4,625,000.00

 

106.41

 

4,921,462.69

 

4,625,000.00

 

4,625,000.00

 

296,462.69

 

 

 

 

2.983

 

2.983

 

Jun-Dec

 

40,622.66

 

65,916.00

 

12/15/2010

 

12/15/2015

 

580169AM2

 

MCDONNELL DOUGLAS CORP CORP BND

 

 

 

 

 

 

 

1FE

 

5,169,456.25

 

104.348

 

4,565,226.97

 

4,375,000.00

 

4,467,283.98

 

97,942.99

 

(133,110.17

)

 

 

9.75

 

5.417

 

Apr-Oct

 

213,281.25

 

213,281.00

 

5/31/2007

 

4/1/2012

 

58404JAE8

 

MEDASSETS INC LN1 TERM LOAN

 

 

 

 

 

 

 

 

 

 

97.625

 

 

 

 

 

 

 

 

#N/A

 

0.819

 

#N/A

 

 

1,784.00

 

8/19/2011

 

11/15/2016

 

585055AU0

 

MEDTRONIC INC CORP BND

 

 

 

 

 

 

 

1FE

 

6,968,430.00

 

103.953

 

7,276,719.31

 

7,000,000.00

 

6,971,662.94

 

305,056.37

 

3,232.94

 

 

 

2.625

 

2.722

 

Mar-Sep

 

8,166.67

 

91,875.00

 

3/10/2011

 

3/15/2016

 

58515UAM1

 

MEG ENERGY CORP TERM LOAN

 

 

 

A

 

1

 

1F

 

 

97.804

 

 

 

 

 

 

 

 

#N/A

 

-0.33

 

#N/A

 

 

119,556.00

 

5/19/2011

 

3/18/2012

 

587682AC9

 

MBART_10-A ABS 10-A-A3

 

 

 

 

 

2

 

1FE

 

758,859.55

 

100.597

 

763,535.71

 

759,005.66

 

758,946.51

 

4,589.20

 

51.20

 

 

 

1.42

 

1.433

 

Monthly

 

479.02

 

8,083.00

 

4/13/2010

 

8/15/2014

 

589331AK3

 

MERCK & CO INC CORP BND

 

 

 

 

 

 

 

1FE

 

8,701,862.50

 

111.849

 

8,947,885.76

 

8,000,000.00

 

8,485,912.33

 

461,973.43

 

(99,819.65

)

 

 

4.75

 

2.871

 

Mar-Sep

 

31,666.67

 

380,000.00

 

2/17/2010

 

3/1/2015

 

59018YM40

 

MERRILL LYNCH & CO INC CORP BND

 

 

 

 

 

 

 

1FE

 

5,069,223.87

 

98.969

 

4,948,451.60

 

5,000,000.00

 

5,032,713.10

 

(84,261.50

)

(17,354.65

)

 

 

5.45

 

4.941

 

Feb-Aug

 

42,388.89

 

272,500.00

 

2/19/2010

 

2/5/2013

 

59018YN56

 

MERRILL LYNCH & CO INC CORP BND MTN

 

 

 

 

 

 

 

1FE

 

3,256,943.51

 

99.11

 

3,022,844.54

 

3,050,000.00

 

3,163,777.36

 

(140,932.82

)

(87,719.56

)

 

 

6.15

 

3.675

 

Apr-Oct

 

81,282.50

 

93,788.00

 

11/12/2010

 

4/25/2013

 

59018YTZ4

 

MERRILL LYNCH & CO INC CORP BND

 

 

 

 

 

 

 

1FE

 

2,251,650.00

 

97.541

 

2,072,736.05

 

2,125,000.00

 

2,205,895.31

 

(133,159.26

)

(20,314.06

)

 

 

5.45

 

3.993

 

Jan-Jul

 

24,449.30

 

115,813.00

 

1/6/2010

 

7/15/2014

 

59266MAE6

 

METROPCS WIRELESS INC TERM LOAN

 

 

 

 

 

2

 

1Z

 

 

95.65

 

 

 

 

 

 

 

 

#N/A

 

0.275

 

#N/A

 

 

66,554.00

 

8/15/2011

 

3/31/2018

 

594088AF3

 

MICHAELS STORES INC. TERM LOAN

 

 

 

 

 

 

 

 

 

 

95.313

 

 

 

 

 

 

 

 

#N/A

 

0.073

 

#N/A

 

 

19,611.00

 

6/22/2011

 

7/31/2016

 

594918AF1

 

MICROSOFT CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

12,542,492.50

 

100.435

 

12,529,292.57

 

12,475,000.00

 

12,534,148.65

 

(4,856.08

)

(7,703.24

)

 

 

0.875

 

0.635

 

Mar-Sep

 

1,212.86

 

65,406.00

 

7/13/2011

 

9/27/2013

 

594918AG9

 

MICROSOFT CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

3,395,238.00

 

101.063

 

3,387,645.43

 

3,352,000.00

 

3,396,096.34

 

(8,450.91

)

3,129.05

 

 

 

1.625

 

1.283

 

Mar-Sep

 

1,226.34

 

16,160.00

 

9/29/2011

 

9/25/2015

 

59514UAD0

 

MICROSEMI CORPORATION TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

99.125

 

 

 

 

 

 

 

 

#N/A

 

0.614

 

#N/A

 

 

 

8/26/2011

 

10/25/2017

 

595620AD7

 

MIDAMERICAN ENERGY HOLDINGS CO CORP BND

 

 

 

 

 

 

 

1FE

 

14,515,750.75

 

103.482

 

14,589,004.81

 

13,255,000.00

 

14,157,339.41

 

431,665.40

 

(215,516.02

)

 

 

4.65

 

2.287

 

Apr-Oct

 

308,178.75

 

308,179.00

 

7/29/2010

 

10/1/2014

 

6174466Q7

 

MORGAN STANLEY CORP BND MTN

 

 

 

 

 

 

 

1FE

 

4,839,868.80

 

99.46

 

4,439,898.46

 

4,464,000.00

 

4,834,347.73

 

(394,449.27

)

(5,521.07

)

 

 

6.625

 

5.109

 

Apr-Oct

 

147,870.00

 

 

8/12/2011

 

4/1/2018

 

6174467N3

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

3,035,220.00

 

93.751

 

2,812,524.02

 

3,000,000.00

 

3,028,849.24

 

(216,325.22

)

(7,844.46

)

 

 

4

 

3.725

 

Jan-Jul

 

22,333.34

 

119,333.00

 

10/15/2010

 

7/24/2015

 

617446B99

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

469,255.00

 

0

 

453,275.00

 

500,000.00

 

483,023.52

 

(29,748.52

)

5,409.91

 

 

 

0.54605

 

2.096

 

J-A-J-O

 

621.89

 

2,243.00

 

10/22/2009

 

1/9/2014

 

617446H51

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

6,256,312.80

 

95.838

 

5,702,351.30

 

5,950,000.00

 

6,221,153.87

 

(518,802.57

)

(33,981.07

)

 

 

5.55

 

4.612

 

Apr-Oct

 

141,262.92

 

142,635.00

 

8/29/2011

 

4/27/2017

 

617446HC6

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

560,894.25

 

102.18

 

536,443.48

 

525,000.00

 

529,691.84

 

6,751.64

 

(6,795.86

)

 

 

6.6

 

4.77

 

Apr-Oct

 

17,325.00

 

17,325.00

 

1/25/2008

 

4/1/2012

 

617446HR3

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

1,205,448.75

 

100.327

 

1,128,680.77

 

1,125,000.00

 

1,179,158.33

 

(50,477.56

)

(43,568.20

)

 

 

5.3

 

1.843

 

Mar-Sep

 

4,968.75

 

59,625.00

 

1/12/2011

 

3/1/2013

 

617446V89

 

MORGAN STANLEY CORP BND MTN

 

 

 

 

 

 

 

1FE

 

542,275.00

 

103.6

 

516,520.00

 

500,000.00

 

514,684.57

 

1,835.43

 

(11,724.10

)

 

 

5.75

 

2.482

 

Feb-Aug

 

2,475.69

 

28,750.00

 

12/16/2009

 

8/31/2012

 

61746BCW4

 

MORGAN STANLEY & CO. CORP BND GMTN

 

 

 

 

 

 

 

1FE

 

2,978,670.00

 

100.901

 

3,027,029.82

 

3,000,000.00

 

2,998,543.10

 

28,486.72

 

3,938.89

 

 

 

5.625

 

5.809

 

Jan-Jul

 

38,437.50

 

168,750.00

 

8/14/2007

 

1/9/2012

 

61746REV9

 

MSAC ABS 04-H1

 

 

 

 

 

2

 

1FE

 

941,018.20

 

51.241

 

736,720.07

 

939,550.16

 

940,582.62

 

(203,862.55

)

(93.87

)

 

 

0.97456

 

0.962

 

Monthly

 

127.17

 

6,876.00

 

1/25/2011

 

1/25/2034

 

61746SBQ1

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

5,228,135.00

 

84.448

 

4,644,639.89

 

5,500,000.00

 

5,267,914.87

 

(623,274.98

)

39,779.87

 

 

 

0.72925

 

1.841

 

J-A-J-O

 

8,690.23

 

32,109.00

 

1/5/2011

 

10/15/2015

 

61747WAE9

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

7,041,242.50

 

93.298

 

6,530,859.80

 

7,000,000.00

 

7,032,678.24

 

(501,818.44

)

(8,564.26

)

 

 

1.853

 

1.703

 

J-A-J-O

 

24,500.77

 

66,459.00

 

2/11/2011

 

1/24/2014

 

61747WAK5

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

874,798.75

 

94.152

 

823,833.61

 

875,000.00

 

874,810.18

 

(50,976.57

)

11.43

 

 

 

2.875

 

2.883

 

Jan-Jul

 

4,402.34

 

 

7/21/2011

 

7/28/2014

 

61747YCE3

 

MORGAN STANLEY CORP BND MTN

 

 

 

 

 

 

 

1FE

 

7,831,200.00

 

99.836

 

7,487,706.75

 

7,500,000.00

 

7,823,214.34

 

(335,507.59

)

(28,434.22

)

 

 

6

 

4.668

 

Apr-Oct

 

189,535.00

 

 

9/23/2011

 

4/28/2015

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

61747YCF0

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

3,497,722.25

 

101.14

 

3,261,761.78

 

3,225,000.00

 

3,441,262.22

 

(179,500.44

)

(87,757.44

)

 

 

6

 

3.303

 

May-Nov

 

74,175.00

 

96,750.00

 

1/6/2011

 

5/13/2014

 

61747YCT0

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

2,973,096.00

 

91.726

 

2,728,857.27

 

2,975,000.00

 

2,973,419.97

 

(244,562.70

)

857.44

 

 

 

3.45

 

3.464

 

May-Nov

 

42,480.52

 

51,319.00

 

10/26/2010

 

11/2/2015

 

61747YDC6

 

MORGAN STANLEY CORP BND

 

 

 

 

 

 

 

1FE

 

18,425,000.00

 

94.493

 

17,410,334.52

 

18,425,000.00

 

18,425,000.00

 

(1,014,665.48

)

 

 

 

1.23285

 

1.253

 

J-A-J-O

 

40,382.69

 

58,369.00

 

4/26/2011

 

4/29/2013

 

61757UAH3

 

MORGAN STANLEY-GTD CORP BND GOVT GUAR

 

 

 

 

 

 

 

1FE

 

11,934,254.00

 

101.216

 

12,145,959.36

 

12,000,000.00

 

11,987,142.20

 

158,817.16

 

15,340.53

 

 

 

1.95

 

2.101

 

Jun-Dec

 

65,650.00

 

117,000.00

 

1/6/2010

 

6/20/2012

 

61760RAZ5

 

MSC_11-C3 A2 CMBS_11-C3 A2

 

 

 

 

 

2

 

1FE

 

7,776,766.69

 

101.343

 

7,803,414.08

 

7,700,000.00

 

7,776,766.69

 

26,647.39

 

 

 

 

3.224

 

3.176

 

Monthly

 

2,758.31

 

 

9/14/2011

 

7/15/2049

 

62888UAA8

 

NGN_10-R2 CMBS_10-R2 1A

 

 

 

 

 

2

 

 

 

4,735,123.64

 

100.031

 

4,736,591.53

 

4,735,123.64

 

4,735,123.64

 

1,467.89

 

 

 

 

0.59439

 

0.595

 

Monthly

 

1,951.42

 

13,821.00

 

6/10/2011

 

11/6/2017

 

62888VAA6

 

NCUA GUARANTEED NOTES NGN_10-R CMO_10-R1

 

 

 

 

 

2

 

1FE

 

1,540,410.10

 

100.156

 

1,542,813.14

 

1,540,410.10

 

1,540,410.10

 

2,403.04

 

 

 

 

0.67439

 

0.675

 

Monthly

 

721.30

 

2,530.00

 

6/10/2011

 

10/7/2020

 

62888VAB4

 

NCUA GUARANTEED NOTES AGENCY CMO_10-R1

 

 

 

 

 

2

 

1FE

 

726,572.35

 

101.258

 

735,779.09

 

726,637.98

 

726,582.96

 

9,196.13

 

35.73

 

 

 

1.84

 

1.85

 

Monthly

 

1,002.76

 

4,558.00

 

9/7/2011

 

10/7/2020

 

62888XAC8

 

NCUA_10-C1 CMBS_10-C1 A-PT

 

 

 

 

 

2

 

1FE

 

4,772,275.06

 

103.764

 

4,961,740.13

 

4,781,754.87

 

4,773,768.10

 

187,972.03

 

1,506.78

 

 

 

2.65

 

2.736

 

Monthly

 

1,407.97

 

48,488.00

 

9/7/2011

 

10/29/2020

 

62888YAA0

 

NGN_11-R1 CMO_11-R1 IA

 

 

 

 

 

2

 

1

 

4,286,679.44

 

100.297

 

4,297,644.93

 

4,284,918.72

 

4,286,546.42

 

11,098.51

 

(264.25

)

 

 

0.67439

 

0.664

 

Monthly

 

2,003.94

 

11,542.00

 

6/10/2011

 

1/8/2020

 

62889AAA1

 

NCUA GUARANTEED NOTES AGENCY ABS 10-A1 A

 

 

 

 

 

2

 

1FE

 

2,655,947.34

 

100.203

 

2,661,338.91

 

2,655,947.34

 

2,655,947.34

 

5,391.57

 

 

 

 

0.57439

 

0.575

 

Monthly

 

942.69

 

7,029.00

 

6/10/2011

 

12/7/2020

 

62889EAA3

 

NGN_11-R3 NGN_11-R3 1A

 

 

 

 

 

2

 

NR*Z*

 

4,903,665.43

 

100

 

4,903,665.43

 

4,903,665.43

 

4,903,665.43

 

 

 

 

 

0.625

 

0.626

 

Monthly

 

1,947.43

 

11,329.00

 

6/10/2011

 

3/11/2020

 

62889FAA0

 

NGN_11-R4 CMO_11R4-1A

 

 

 

 

 

2

 

1FE

 

5,301,946.68

 

100

 

5,301,946.68

 

5,301,946.68

 

5,301,946.68

 

 

 

 

 

0.60439

 

0.605

 

Monthly

 

2,307.38

 

10,343.00

 

6/10/2011

 

3/6/2020

 

62889GAA8

 

NCUA GUARANTEED NOTES CMO 11-R5 1A

 

 

 

 

 

2

 

1FE

 

5,316,553.94

 

100

 

5,316,553.94

 

5,316,553.94

 

5,316,553.94

 

 

 

 

 

0.60439

 

0.605

 

Monthly

 

2,227.96

 

9,797.00

 

6/10/2011

 

4/6/2020

 

62889JAA2

 

NCUA GUARANTEED NOTES CMO_11-R6 1A

 

 

 

 

 

2

 

1FE

 

5,146,543.38

 

100

 

5,146,543.38

 

5,146,543.38

 

5,146,543.38

 

 

 

 

 

0.60439

 

0.605

 

Monthly

 

2,239.75

 

8,707.00

 

6/10/2011

 

5/7/2020

 

62889KAA9

 

NATIONAL CREDIT UNION ADMINIST AGENCY

 

 

 

 

 

 

 

1

 

3,200,000.00

 

99.966

 

3,198,912.00

 

3,200,000.00

 

3,200,000.00

 

(1,088.00

)

 

 

 

0.245

 

0.205

 

Monthly

 

413.78

 

1,667.00

 

6/8/2011

 

6/12/2013

 

62951MAY6

 

NOMURA ASSET ACCEPTANCE CORPOR WHOLE CMO

 

 

 

 

 

2

 

1FE

 

932,506.22

 

94.686

 

902,165.29

 

922,987.90

 

931,857.49

 

(29,692.20

)

(664.36

)

 

 

6.5

 

6.271

 

Monthly

 

4,999.52

 

44,996.00

 

10/3/2007

 

2/25/2035

 

6325C0AV3

 

NATIONAL AUSTRALIA BANK LIMITE CORP BND

 

 

 

F

 

 

 

1FE

 

8,188,453.32

 

106.321

 

8,505,679.92

 

8,000,000.00

 

8,144,466.79

 

361,213.13

 

(37,426.07

)

 

 

3.375

 

2.693

 

Jan-Jul

 

62,250.00

 

270,000.00

 

11/12/2010

 

7/8/2014

 

6325C0CA7

 

NATIONAL AUSTRALIA BANK LIMITE SENIOR

 

 

 

F

 

 

 

1FE

 

9,600,000.00

 

99.677

 

9,568,992.19

 

9,600,000.00

 

9,600,000.00

 

(31,007.81

)

 

 

 

0.96605

 

1.01

 

J-A-J-O

 

21,124.30

 

24,489.00

 

4/6/2011

 

4/11/2014

 

63307EAA5

 

NATIONAL BK OF CANADA CORP BND 144A

 

 

 

A

 

 

 

1FE

 

2,499,350.00

 

101.673

 

2,541,824.93

 

2,500,000.00

 

2,499,492.74

 

42,332.19

 

142.74

 

 

 

1.65

 

1.659

 

Jan-Jul

 

6,989.58

 

20,625.00

 

1/24/2011

 

1/30/2014

 

637432MM4

 

NATIONAL RURAL UTILITIES SECURED CORP

 

 

 

 

 

 

 

1FE

 

2,998,950.00

 

100.145

 

3,004,347.60

 

3,000,000.00

 

2,999,266.81

 

5,080.79

 

258.57

 

 

 

1.125

 

1.137

 

May-Nov

 

14,062.50

 

16,875.00

 

10/25/2010

 

11/1/2013

 

63946BAA8

 

NBC UNIVERSAL MEDIA LLC CORP BND

 

 

 

 

 

 

 

2FE

 

2,599,743.39

 

101.558

 

2,640,509.15

 

2,600,000.00

 

2,599,777.05

 

40,732.10

 

33.66

 

 

 

2.1

 

1.33

 

Apr-Oct

 

27,300.00

 

 

8/22/2011

 

4/1/2014

 

63946BAC4

 

NBC UNIVERSAL MEDIA LLC CORP BND

 

 

 

 

 

 

 

2

 

999,531.28

 

101.587

 

1,015,872.50

 

1,000,000.00

 

999,558.72

 

16,313.78

 

123.47

 

 

 

2.875

 

2.886

 

Apr-Oct

 

14,375.00

 

 

8/22/2011

 

4/1/2016

 

63968AQE8

 

NEBRASKA PUB PWR DIST MUNITAX BND REV

 

 

 

 

 

 

 

1FE

 

1,329,837.50

 

104.001

 

1,300,012.49

 

1,250,000.00

 

1,283,546.50

 

16,465.99

 

(19,766.28

)

 

 

4.135

 

1.95

 

Jan-Jul

 

12,921.88

 

51,688.00

 

12/17/2009

 

1/1/2013

 

64031BAA2

 

NLST_10-3A ABS_10-3A A

 

 

 

 

 

2

 

1FE

 

1,054,546.55

 

100.05

 

1,055,073.85

 

1,054,546.55

 

1,054,546.55

 

527.30

 

 

 

 

1.033

 

1.034

 

J-A-J-O

 

2,057.65

 

8,544.00

 

7/28/2010

 

7/27/2048

 

65475HAB7

 

NALT_11-A ABS_11-A A2A

 

 

 

 

 

2

 

1FE

 

4,674,945.77

 

99.949

 

4,672,615.61

 

4,675,000.00

 

4,674,947.42

 

(2,331.81

)

1.65

 

 

 

0.7

 

0.701

 

Monthly

 

1,454.44

 

4,636.00

 

7/14/2011

 

1/15/2014

 

65475NAD0

 

NISSAN AUTO LEASE TRUST NALT_1 ABS_11-B

 

 

 

 

 

2

 

1FE

 

1,199,775.12

 

99.98

 

1,199,760.00

 

1,200,000.00

 

1,199,776.07

 

(16.07

)

0.95

 

 

 

0.92

 

0.932

 

Monthly

 

92.00

 

 

9/21/2011

 

2/16/2015

 

65475VAC4

 

NAROT ABS 09-1 A3

 

 

 

 

 

2

 

1FE

 

1,542,207.50

 

101.656

 

1,515,183.59

 

1,490,505.59

 

1,511,026.99

 

4,156.60

 

(64,490.74

)

 

 

5

 

2.236

 

Monthly

 

3,312.23

 

55,894.00

 

5/24/2010

 

9/15/2012

 

65557CAG8

 

NORDEA BANK AB CORP BND 144A

 

 

 

F

 

 

 

1FE

 

6,975,000.00

 

100.47

 

7,007,783.12

 

6,975,000.00

 

6,975,000.00

 

32,783.12

 

 

 

 

1.149

 

1.203

 

J-A-J-O

 

17,586.89

 

41,778.00

 

1/11/2011

 

1/14/2014

 

65558AAA4

 

NORDEA EIENDOMSKREDITT CORP BND 144A

 

 

 

F

 

 

 

 

 

18,054,005.00

 

101.415

 

18,254,700.19

 

18,000,000.00

 

18,055,783.71

 

198,916.48

 

1,778.71

 

 

 

1.875

 

1.747

 

Apr-Oct

 

163,125.00

 

 

8/9/2011

 

4/7/2014

 

665859AJ3

 

NORTHERN TRUST CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

7,654,145.00

 

108.121

 

8,109,108.90

 

7,500,000.00

 

7,570,103.23

 

539,005.67

 

(26,553.21

)

 

 

5.5

 

4.969

 

Feb-Aug

 

52,708.34

 

412,500.00

 

3/23/2009

 

8/15/2013

 

666807BC5

 

NORTHROP GRUMMAN CORP CORP BND

 

 

 

 

 

 

 

2FE

 

998,710.00

 

99.605

 

996,054.31

 

1,000,000.00

 

998,933.32

 

(2,879.01

)

251.87

 

 

 

1.85

 

1.877

 

May-Nov

 

6,988.89

 

9,610.00

 

11/1/2010

 

11/15/2015

 

66989HAA6

 

NOVARTIS CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

1,623,326.25

 

107.452

 

1,746,088.00

 

1,625,000.00

 

1,624,167.92

 

121,920.08

 

248.30

 

 

 

4.125

 

4.148

 

Feb-Aug

 

9,496.09

 

67,031.00

 

2/4/2009

 

2/10/2014

 

66989HAB4

 

NOVARTIS CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

6,008,362.50

 

102.013

 

6,120,807.97

 

6,000,000.00

 

6,007,267.04

 

113,540.93

 

(2,890.49

)

 

 

1.9

 

1.82

 

Apr-Oct

 

49,716.66

 

57,000.00

 

1/28/2011

 

4/24/2013

 

66989HAC2

 

NOVARTIS CAPITAL CORP CORP BND

 

 

 

 

 

 

 

1FE

 

6,966,540.00

 

105.554

 

7,388,812.13

 

7,000,000.00

 

6,976,258.01

 

412,554.12

 

6,416.39

 

 

 

2.9

 

3.001

 

Apr-Oct

 

88,530.55

 

101,500.00

 

3/9/2010

 

4/24/2015

 

67001BAK9

 

NOVELIS INC/GA TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

97.125

 

 

 

 

 

 

 

 

#N/A

 

0.708

 

#N/A

 

 

6,672.00

 

8/19/2011

 

3/10/2017

 

674599CA1

 

OCCIDENTAL PETROLEUM CORP BND

 

 

 

 

 

 

 

1FE

 

6,542,205.50

 

101.295

 

6,634,822.37

 

6,550,000.00

 

6,544,234.96

 

90,587.41

 

1,917.29

 

 

 

1.45

 

1.491

 

Jun-Dec

 

28,492.50

 

46,696.00

 

12/13/2010

 

12/13/2013

 

674599CB9

 

OCCIDENTAL PETROLEUM CORP BND

 

 

 

 

 

 

 

1FE

 

5,942,760.00

 

98.985

 

5,939,073.48

 

6,000,000.00

 

5,943,945.79

 

(4,872.31

)

1,185.79

 

 

 

1.75

 

1.934

 

Feb-Aug

 

12,541.67

 

 

8/15/2011

 

2/15/2017

 

68268NAF0

 

ONEOK INC. CORP BND

 

 

 

 

 

1

 

2FE

 

2,673,395.00

 

101.618

 

2,718,274.25

 

2,675,000.00

 

2,673,606.49

 

44,667.76

 

211.49

 

 

 

3.25

 

3.263

 

Feb-Aug

 

14,489.58

 

44,676.00

 

1/21/2011

 

2/1/2016

 

6832348A9

 

ONTARIO PROVINCE CORP BND

 

 

 

A

 

 

 

1FE

 

13,347,291.75

 

108.225

 

13,798,687.25

 

12,750,000.00

 

13,132,859.20

 

665,828.05

 

(100,709.88

)

 

 

4.1

 

2.938

 

Jun-Dec

 

152,468.75

 

261,375.00

 

2/19/2010

 

6/16/2014

 

6832348F8

 

ONTARIO PROVINCE CORP BND

 

 

 

A

 

 

 

1FE

 

2,800,000.00

 

100.043

 

2,801,203.97

 

2,800,000.00

 

2,800,000.00

 

1,203.97

 

 

 

 

0.44589

 

0.42

 

F-M-A-N

 

1,491.25

 

9,235.00

 

11/10/2009

 

11/19/2012

 

6832348Y7

 

ONTARIO PROVINCE CORP BND

 

 

 

A

 

 

 

1FE

 

5,224,450.00

 

105.079

 

5,253,950.50

 

5,000,000.00

 

5,215,197.90

 

38,752.60

 

(9,252.10

)

 

 

2.7

 

1.502

 

Jun-Dec

 

39,375.00

 

 

7/28/2011

 

6/16/2015

 

68389XAD7

 

ORACLE CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

7,549,729.50

 

106.407

 

7,794,305.86

 

7,325,000.00

 

7,492,035.21

 

302,270.65

 

(20,632.94

)

 

 

4.95

 

3.4

 

Apr-Oct

 

167,193.14

 

131,794.00

 

9/7/2011

 

4/15/2013

 

69349FAF8

 

TOMKINS PLC TERM LOAN

 

 

 

R

 

2

 

 

 

 

97.938

 

 

 

 

 

 

 

 

#N/A

 

0.618

 

#N/A

 

 

 

8/17/2011

 

9/29/2016

 

693506BF3

 

PPG INDUSTRIES INC CORP BND

 

 

 

 

 

 

 

2FE

 

3,256,223.40

 

98.576

 

3,238,217.72

 

3,285,000.00

 

3,261,005.81

 

(22,788.09

)

4,091.58

 

 

 

1.9

 

2.079

 

Jan-Jul

 

13,176.50

 

42,130.00

 

11/8/2010

 

1/15/2016

 

69351CAC7

 

PNC FUNDING CORP - GTD CORP BND GOVT

 

 

 

 

 

 

 

1FE

 

1,022,310.00

 

101.437

 

1,014,369.02

 

1,000,000.00

 

1,007,655.64

 

6,713.38

 

(20,872.48

)

 

 

2.3

 

1.234

 

Jun-Dec

 

6,325.00

 

11,500.00

 

5/3/2010

 

6/22/2012

 

69362BAS1

 

PSE&G POWER LLC CORP BND

 

 

 

 

 

 

 

2FE

 

1,099,885.31

 

110.851

 

1,108,514.40

 

1,000,000.00

 

1,083,945.05

 

24,569.35

 

(40,012.83

)

 

 

5.32

 

3.462

 

Mar-Sep

 

2,364.44

 

53,200.00

 

9/15/2010

 

9/15/2016

 

69362BAX0

 

PSE&G POWER LLC CORP BND

 

 

 

 

 

 

 

2FE

 

2,992,380.00

 

99.77

 

2,993,110.44

 

3,000,000.00

 

2,992,426.87

 

683.57

 

46.87

 

 

 

2.75

 

2.805

 

Mar-Sep

 

2,750.00

 

 

9/14/2011

 

9/15/2016

 

69371RJ98

 

PACCAR FINL CORP BND

 

 

 

 

 

 

 

1FE

 

2,371,841.25

 

101.427

 

2,408,894.20

 

2,375,000.00

 

2,373,177.64

 

35,716.56

 

1,558.72

 

 

 

2.05

 

2.096

 

Jun-Dec

 

14,065.28

 

24,344.00

 

6/9/2010

 

6/17/2013

 

69373UAA5

 

PACCAR INC CORP BND

 

 

 

 

 

 

 

1FE

 

1,117,070.86

 

112.922

 

1,129,215.93

 

1,000,000.00

 

1,071,651.86

 

57,564.07

 

(59,191.97

)

 

 

6.875

 

3.692

 

Feb-Aug

 

8,784.72

 

68,750.00

 

2/19/2010

 

2/15/2014

 

694308GD3

 

PACIFIC GAS AND ELECTRIC CO CORP BND

 

 

 

 

 

 

 

1FE

 

5,548,050.00

 

108.117

 

5,405,862.45

 

5,000,000.00

 

5,397,212.00

 

8,650.45

 

(119,628.47

)

 

 

4.8

 

1.444

 

Mar-Sep

 

20,000.00

 

240,000.00

 

10/19/2010

 

3/1/2014

 

70659PAB7

 

PENAR_11-1-A1 ABS_11-1 A1 144A

 

 

 

F

 

2

 

1FE

 

7,300,000.00

 

99.959

 

7,297,036.20

 

7,300,000.00

 

7,300,000.00

 

(2,963.80

)

 

 

 

0.87994

 

0.882

 

Monthly

 

2,141.18

 

17,736.00

 

6/2/2011

 

5/18/2015

 

713448BK3

 

PEPSICO INC CORP BND

 

 

 

 

 

 

 

1FE

 

19,458,660.00

 

106.864

 

20,838,533.24

 

19,500,000.00

 

19,479,025.68

 

1,359,507.56

 

6,090.21

 

 

 

3.75

 

3.797

 

Mar-Sep

 

60,937.51

 

731,250.00

 

2/25/2009

 

3/1/2014

 

713448BQ0

 

PEPSICO INC CORP BND

 

 

 

 

 

 

 

1FE

 

4,997,800.00

 

100.042

 

5,002,101.50

 

5,000,000.00

 

4,998,477.49

 

3,624.01

 

728.31

 

 

 

0.875

 

0.89

 

Apr-Oct

 

18,958.34

 

21,753.00

 

10/19/2010

 

10/25/2013

 

713448BU1

 

PEPSICO INC CORP BND

 

 

 

 

 

 

 

1FE

 

750,000.00

 

100.006

 

750,044.98

 

750,000.00

 

750,000.00

 

44.98

 

 

 

 

0.35478

 

0.347

 

F-M-A-N

 

384.35

 

665.00

 

5/3/2011

 

5/10/2013

 

71601KAE9

 

PETCO ANIMAL SUPPLIES INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

94.425

 

 

 

 

 

 

 

 

#N/A

 

0.202

 

#N/A

 

 

40,125.00

 

8/15/2011

 

11/24/2017

 

71645WAT8

 

PETROBRAS INTERNATIONAL FINANC CORP BND

 

 

 

F

 

 

 

2FE

 

797,304.00

 

99.113

 

792,904.36

 

800,000.00

 

797,640.66

 

(4,736.30

)

2,840.17

 

 

 

3.875

 

3.95

 

Jan-Jul

 

5,511.11

 

15,500.00

 

1/20/2011

 

1/27/2016

 

717081CZ4

 

PFIZER INC. CORP BND

 

 

 

 

 

 

 

1FE

 

2,883,727.29

 

101.428

 

2,788,249.04

 

2,749,000.00

 

2,781,630.11

 

6,618.93

 

(52,955.37

)

 

 

4.45

 

1.824

 

Mar-Sep

 

5,436.91

 

122,331.00

 

4/15/2010

 

3/15/2012

 

717081DA8

 

PFIZER INC. CORP BND

 

 

 

 

 

 

 

1FE

 

1,380,477.50

 

113.279

 

1,415,986.83

 

1,250,000.00

 

1,338,571.26

 

77,415.57

 

(17,870.25

)

 

 

5.35

 

3.169

 

Mar-Sep

 

2,972.22

 

66,875.00

 

2/17/2010

 

3/15/2015

 

71722TAF1

 

PHEAA_04-1 ABS_04-1-A2

 

 

 

 

 

2

 

1FE

 

452,730.00

 

90.102

 

450,508.50

 

500,000.00

 

457,890.01

 

(7,381.51

)

2,216.37

 

 

 

1.69

 

2.593

 

Monthly

 

601.92

 

4,987.00

 

3/9/2010

 

4/25/2044

 

71722TAG9

 

PHEAA_04-1 ABS_04-1-A3

 

 

 

 

 

2

 

1FE

 

1,177,098.00

 

90.111

 

1,171,439.10

 

1,300,000.00

 

1,197,201.48

 

(25,762.38

)

10,249.18

 

 

 

0

 

1.091

 

Monthly

 

 

14,139.00

 

3/9/2010

 

4/25/2044

 

718172AB5

 

PHILIP MORRIS INTERNATIONAL IN CORP BND

 

 

 

 

 

 

 

1FE

 

6,108,095.00

 

106.222

 

6,506,101.23

 

6,125,000.00

 

6,119,051.70

 

387,049.53

 

2,585.12

 

 

 

4.875

 

4.938

 

May-Nov

 

111,972.66

 

149,297.00

 

5/13/2008

 

5/16/2013

 

718172AG4

 

PHILIP MORRIS INTERNATIONAL IN CORP BND

 

 

 

 

 

 

 

1FE

 

7,341,675.50

 

113.269

 

7,249,212.86

 

6,400,000.00

 

6,998,323.70

 

250,889.16

 

(172,896.40

)

 

 

6.875

 

2.911

 

Mar-Sep

 

17,111.11

 

440,000.00

 

4/14/2010

 

3/17/2014

 

72083EAF5

 

ADVANCE PIERRE FOODS TERM LOAN

 

 

 

 

 

1

 

 

 

 

97.406

 

 

 

 

 

 

 

 

#N/A

 

0.043

 

#N/A

 

 

78,368.00

 

12/14/2010

 

9/29/2016

 

72165NAF6

 

PILOT TRAVEL CENTERS LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

98.458

 

 

 

 

 

 

 

 

#N/A

 

0.497

 

#N/A

 

 

20,081.00

 

8/24/2011

 

3/25/2018

 

72347NAC4

 

PINNACLE FOODS FINANCE TERM LOAN

 

 

 

 

 

2

 

4FE

 

 

94.625

 

 

 

 

 

 

 

 

#N/A

 

0.352

 

#N/A

 

 

77,841.00

 

3/8/2011

 

4/2/2014

 

742651DB5

 

PRIVATE EXPORT FUNDING CORP SECURED

 

 

 

 

 

 

 

 

 

1,646,955.00

 

115.48

 

1,732,200.04

 

1,500,000.00

 

1,608,398.25

 

123,801.79

 

(18,250.83

)

 

 

4.95

 

3.07

 

May-Nov

 

28,050.00

 

37,125.00

 

2/23/2010

 

11/15/2015

 

742718DV8

 

PROCTER & GAMBLE COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

4,959,800.00

 

100

 

5,000,005.35

 

5,000,000.00

 

4,960,790.02

 

39,215.33

 

990.02

 

 

 

1.45

 

1.618

 

Feb-Aug

 

9,263.89

 

 

8/10/2011

 

8/15/2016

 

74456QAW6

 

PUBLIC SERVICE ELECTRIC & GAS CORP BND

 

 

 

 

 

 

 

1FE

 

549,021.00

 

103.285

 

568,069.49

 

550,000.00

 

549,274.31

 

18,795.18

 

142.54

 

 

 

2.7

 

2.739

 

May-Nov

 

6,187.50

 

7,425.00

 

5/17/2010

 

5/1/2015

 

74456QAY2

 

PUBLIC SERVICE ELECTRIC & GAS CORP BND

 

 

 

 

 

 

 

1FE

 

7,818,200.25

 

99.23

 

7,764,747.74

 

7,825,000.00

 

7,818,365.51

 

(53,617.77

)

165.26

 

 

 

0.85

 

0.88

 

Feb-Aug

 

8,314.06

 

 

9/12/2011

 

8/15/2014

 

74834LAT7

 

QUEST DIAGNOSTICS INC CORP BND

 

 

 

 

 

 

 

2FE

 

2,600,000.00

 

100.547

 

2,614,222.00

 

2,600,000.00

 

2,600,000.00

 

14,222.00

 

 

 

 

1.20806

 

1.159

 

M-J-S-D

 

610.74

 

14,980.00

 

3/21/2011

 

3/24/2014

 

74876WAJ4

 

QUINTILES TRANSNATIONAL CORP. TERM LOAN

 

 

 

 

 

1

 

4FE

 

 

93.833

 

 

 

 

 

 

 

 

#N/A

 

0.683

 

#N/A

 

 

2,316.00

 

8/15/2011

 

5/25/2018

 

74977RBQ6

 

RABOBANK NEDERLAND NV CORP BND 144A

 

 

 

F

 

 

 

1FE

 

5,051,420.50

 

106.045

 

5,143,179.83

 

4,850,000.00

 

4,974,975.82

 

168,204.01

 

(33,872.31

)

 

 

4.2

 

3.166

 

May-Nov

 

78,085.00

 

101,850.00

 

1/8/2010

 

5/13/2014

 

74977RBU7

 

RABOBANK NEDERLAND NV CORP BND 144A

 

 

 

F

 

 

 

1FE

 

8,042,868.37

 

101.756

 

8,140,501.68

 

8,000,000.00

 

8,015,371.92

 

125,129.76

 

(18,574.79

)

 

 

2.65

 

2.427

 

Feb-Aug

 

25,911.11

 

212,000.00

 

2/19/2010

 

8/17/2012

 

74977RCE2

 

RABOBANK NEDERLAND NV CORP BND 144A

 

 

 

F

 

 

 

1FE

 

9,993,100.00

 

103.636

 

10,363,633.69

 

10,000,000.00

 

9,995,129.70

 

368,503.99

 

984.80

 

 

 

3.2

 

3.215

 

Mar-Sep

 

17,777.78

 

320,000.00

 

3/4/2010

 

3/11/2015

 

76111XYH0

 

RES FUND MTG SEC I CMO_05-SA4 2A1

 

 

 

 

 

2

 

1FE

 

402,419.43

 

73.92

 

306,701.77

 

410,171.68

 

402,756.76

 

(96,054.99

)

595.28

 

 

 

2.93825

 

3.258

 

Monthly

 

1,004.32

 

9,629.00

 

8/14/2007

 

9/25/2035

 

76111XYJ6

 

RES FUND MTG SEC I CMO_05-SA4 2A2

 

 

 

 

 

2

 

1FE

 

1,214,953.03

 

76.58

 

994,259.65

 

1,259,018.69

 

1,218,875.99

 

(224,616.34

)

5,233.95

 

 

 

5.20838

 

6.101

 

Monthly

 

5,464.54

 

49,151.00

 

8/16/2007

 

9/25/2035

 

76173FAJ6

 

REYNOLDS GROUP HOLDINGS INC TERM LOAN

 

 

 

 

 

2

 

3FE

 

 

96.864

 

 

 

 

 

 

 

 

#N/A

 

0.117

 

#N/A

 

 

102,104.00

 

8/16/2011

 

2/9/2018

 

767201AF3

 

RIO TINTO FINANCE USA LIMITED CORP BND

 

 

 

F

 

 

 

1FE

 

4,576,294.00

 

118.181

 

4,372,692.74

 

3,700,000.00

 

4,352,635.71

 

20,057.03

 

(182,761.27

)

 

 

8.95

 

1.92

 

May-Nov

 

137,979.17

 

165,575.00

 

10/28/2010

 

5/1/2014

 

767201AJ5

 

RIO TINTO FINANCE USA LIMITED CORP BND

 

 

 

F

 

 

 

1FE

 

1,298,947.00

 

98.736

 

1,283,572.56

 

1,300,000.00

 

1,299,132.03

 

(15,559.47

)

229.39

 

 

 

1.875

 

1.892

 

May-Nov

 

10,088.54

 

12,188.00

 

10/28/2010

 

11/2/2015

 

767201AM8

 

RIO TINTO FINANCE LTD CORP BND

 

 

 

F

 

 

 

1FE

 

3,607,092.50

 

100.435

 

3,640,781.95

 

3,625,000.00

 

3,608,323.36

 

32,458.59

 

1,370.23

 

 

 

2.5

 

2.606

 

May-Nov

 

32,977.43

 

 

5/17/2011

 

5/20/2016

 

767201AP1

 

RIO TINTO FINANCE USA LIMITED CORP BND

 

 

 

F

 

 

 

1FE

 

 

 

 

 

 

 

 

104.19

 

 

 

2.25

 

0

 

Mar-Sep

 

(300.00

)

 

9/14/2011

 

9/20/2016

 

771196AQ5

 

ROCHE HOLDINGS INC CORP BND 144A

 

 

 

 

 

 

 

1FE

 

13,818,369.57

 

109.217

 

13,858,503.89

 

12,689,000.00

 

13,481,518.37

 

376,985.52

 

(26,998.35

)

 

 

5

 

2.319

 

Mar-Sep

 

52,870.83

 

521,950.00

 

5/2/2011

 

3/1/2014

 

77937NAC9

 

MACROVISION CORPORATION TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

1,830.00

 

00/00/0000

 

2/1/2018

 

78008HX96

 

ROYAL BANK OF CANADA CORP BND MTN

 

 

 

A

 

 

 

1FE

 

2,014,326.69

 

102.162

 

2,043,239.28

 

2,000,000.00

 

2,009,730.75

 

33,508.53

 

(9,084.90

)

 

 

2.1

 

1.828

 

Jan-Jul

 

7,233.33

 

42,000.00

 

11/12/2010

 

7/29/2013

 

78008K5X7

 

ROYAL BANK OF CANADA CORP BND

 

 

 

A

 

 

 

1FE

 

9,777,835.00

 

99.594

 

9,735,313.70

 

9,775,000.00

 

9,777,562.08

 

(42,248.38

)

(272.92

)

 

 

0.54975

 

0.565

 

J-A-J-O

 

11,195.43

 

14,045.00

 

6/20/2011

 

4/17/2014

 

78008TLB8

 

ROYAL BANK OF CANADA CORP BND MTN

 

 

 

A

 

 

 

1FE

 

6,995,730.00

 

100.908

 

7,063,582.75

 

7,000,000.00

 

6,995,890.78

 

67,691.97

 

160.78

 

 

 

2.3

 

2.313

 

Jan-Jul

 

31,752.78

 

 

7/13/2011

 

7/20/2016

 

78009PCC3

 

ROYAL BANK OF SCOTLAND PLC THE CORP BND

 

 

 

F

 

 

 

1FE

 

3,867,443.75

 

95.224

 

3,689,919.03

 

3,875,000.00

 

3,868,184.83

 

(178,265.80

)

741.08

 

 

 

4.375

 

4.419

 

Mar-Sep

 

7,063.80

 

84,766.00

 

3/14/2011

 

3/16/2016

 

78010XAC5

 

ROYAL BANK OF SCOTLAND PLC THE CORP BND

 

 

 

F

 

 

 

1FE

 

5,251,450.00

 

97.441

 

4,872,053.90

 

5,000,000.00

 

5,230,233.83

 

(358,179.93

)

(21,216.17

)

 

 

4.875

 

3.451

 

Mar-Sep

 

10,156.26

 

121,875.00

 

5/24/2011

 

3/16/2015

 

78010XAD3

 

ROYAL BANK OF SCOTLAND PLC THE CORP BND

 

 

 

F

 

 

 

1FE

 

2,498,650.00

 

98.815

 

2,470,384.23

 

2,500,000.00

 

2,499,130.08

 

(28,745.85

)

328.83

 

 

 

3.4

 

3.419

 

Feb-Aug

 

8,972.22

 

84,764.00

 

8/17/2010

 

8/23/2013

 

78011CAB2

 

ROYAL BANK OF SCOTLAND PLC - G CORP BND

 

 

 

F

 

 

 

1FE

 

2,540,825.00

 

100.356

 

2,508,900.08

 

2,500,000.00

 

2,509,949.11

 

(1,049.03

)

(12,152.74

)

 

 

0.98061

 

0.514

 

F-M-A-N

 

3,404.90

 

18,707.00

 

11/2/2009

 

5/11/2012

 

78011CAC0

 

ROYAL BK OF STLAND GRP PLC - (CORP BND

 

 

 

F

 

 

 

1FE

 

22,880,250.25

 

101.153

 

22,759,536.84

 

22,500,000.00

 

22,588,366.89

 

171,169.95

 

(106,705.96

)

 

 

2.625

 

1.975

 

May-Nov

 

228,046.88

 

295,313.00

 

8/31/2009

 

5/11/2012

 

78011CAE6

 

ROYAL BANK OF SCOTLAND PLC - G CORP BND

 

 

 

F

 

 

 

1FE

 

1,996,200.00

 

100.027

 

2,000,530.16

 

2,000,000.00

 

1,999,898.92

 

631.24

 

1,451.12

 

 

 

1.45

 

1.548

 

Apr-Oct

 

12,969.44

 

14,500.00

 

10/23/2009

 

10/20/2011

 

78355HJL4

 

RYDER SYSTEM INC. CORP BND

 

 

 

 

 

 

 

2FE

 

2,163,660.00

 

109.228

 

2,184,552.46

 

2,000,000.00

 

2,116,267.25

 

68,285.21

 

(33,999.63

)

 

 

5.85

 

3.327

 

Mar-Sep

 

9,750.00

 

117,000.00

 

9/10/2010

 

3/1/2014

 

78355HJQ3

 

RYDER SYSTEM INC. CORP BND MTN

 

 

 

 

 

 

 

2FE

 

3,498,670.00

 

102.945

 

3,603,090.23

 

3,500,000.00

 

3,498,869.51

 

104,220.72

 

199.51

 

 

 

3.15

 

3.16

 

Mar-Sep

 

9,187.50

 

57,269.00

 

2/16/2011

 

3/2/2015

 

78355HJR1

 

RYDER SYSTEM INC. CORP BND MTN

 

 

 

 

 

 

 

2FE

 

1,871,662.50

 

102.061

 

1,913,652.71

 

1,875,000.00

 

1,871,843.58

 

41,809.13

 

181.08

 

 

 

3.5

 

3.533

 

Jun-Dec

 

23,151.04

 

 

5/17/2011

 

6/1/2017

 

78387GAP8

 

AT&T INC CORP BND

 

 

 

 

 

 

 

1FE

 

3,183,016.41

 

109.689

 

3,290,675.58

 

3,000,000.00

 

3,142,990.85

 

147,684.73

 

(33,843.19

)

 

 

5.1

 

3.392

 

Mar-Sep

 

6,800.00

 

153,000.00

 

11/12/2010

 

9/15/2014

 

78442GHX7

 

SLMA ABS 03-10A A1B 144A

 

 

 

 

 

2

 

1FE

 

399,906.25

 

99.969

 

399,875.00

 

400,000.00

 

399,948.18

 

(73.18

)

67.92

 

 

 

1.719

 

1.732

 

Monthly

 

171.91

 

3,553.00

 

9/23/2011

 

12/15/2016

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

78442GHY5

 

SLMA ABS 03-10A-A1C

 

 

 

 

 

 

 

1FE

 

1,399,756.94

 

99.969

 

1,399,562.50

 

1,400,000.00

 

1,399,814.37

 

(251.87

)

(29.90

)

 

 

1.719

 

1.725

 

0

 

133.70

 

18,117.00

 

2/4/2010

 

12/15/2016

 

78442GHZ2

 

SLMA ABS 03-10A A1D 144A

 

 

 

 

 

2

 

1FE

 

2,144,750.00

 

99.969

 

2,149,328.13

 

2,150,000.00

 

2,146,975.19

 

2,352.94

 

229.89

 

 

 

0

 

0.094

 

Monthly

 

200.91

 

23,796.00

 

9/29/2011

 

12/15/2016

 

78442GJA5

 

SLM STUDENT LOAN TR 2003-10A 03-10A A1E

 

 

 

 

 

2

 

1FE

 

849,781.25

 

99.969

 

849,734.38

 

850,000.00

 

849,885.51

 

(151.13

)

101.65

 

 

 

1.672

 

1.687

 

Monthly

 

78.95

 

9,439.00

 

9/23/2011

 

12/15/2016

 

78442GJC1

 

SLMA ABS_03-10A AIG 144A

 

 

 

 

 

2

 

1FE

 

150,000.00

 

99.969

 

149,953.13

 

150,000.00

 

150,000.00

 

(46.87

)

 

 

 

1.719

 

1.721

 

Monthly

 

57.30

 

 

9/23/2011

 

12/15/2016

 

78442GJD9

 

SLM STUDENT LOAN TR 2003-10A ABS 03-10A

 

 

 

 

 

2

 

1FE

 

519,675.00

 

99.969

 

519,512.60

 

519,675.00

 

519,675.00

 

(162.40

)

 

 

 

1.684

 

1.688

 

Monthly

 

24.31

 

6,049.00

 

9/30/2011

 

12/15/2016

 

78442GMK9

 

SLMA ABS_04-7 A5

 

 

 

 

 

2

 

1FE

 

3,547,058.42

 

99.203

 

3,539,821.05

 

3,568,244.87

 

3,549,083.99

 

(9,262.94

)

3,393.01

 

 

 

0.423

 

0.654

 

J-A-J-O

 

2,851.03

 

4,003.00

 

5/13/2011

 

1/27/2020

 

78442GQP4

 

SLMA ABS_05-8 A3

 

 

 

 

 

2

 

1FE

 

3,741,725.00

 

97.556

 

3,716,870.22

 

3,810,000.00

 

3,746,634.18

 

(29,763.96

)

4,909.18

 

 

 

0.363

 

0.8

 

J-A-J-O

 

2,612.38

 

3,696.00

 

6/13/2011

 

10/25/2024

 

78444YAB1

 

SLMA ABS 08-5 A2

 

 

 

 

 

2

 

1FE

 

4,147,866.46

 

100.739

 

4,110,451.78

 

4,080,286.71

 

4,124,511.24

 

(14,059.46

)

(29,715.48

)

 

 

1.353

 

0.454

 

J-A-J-O

 

10,427.85

 

42,960.00

 

8/10/2010

 

1/27/2014

 

78444YAC9

 

SLMA ABS 08-5 A3

 

 

 

 

 

2

 

1FE

 

8,919,531.25

 

101.62

 

8,891,731.55

 

8,750,000.00

 

8,913,543.81

 

(21,812.26

)

(5,987.44

)

 

 

1.553

 

0.791

 

J-A-J-O

 

25,667.64

 

 

8/24/2011

 

10/27/2014

 

78444YAD7

 

SLMA ABS 08-5 A4

 

 

 

 

 

2

 

1FE

 

4,033,656.25

 

103.052

 

3,967,519.98

 

3,850,000.00

 

4,012,336.12

 

(44,816.14

)

(14,661.95

)

 

 

1.953

 

1.355

 

J-A-J-O

 

14,202.65

 

58,053.00

 

1/11/2011

 

7/25/2022

 

78445XAA4

 

SLMA_10-1 ABS 10-1A

 

 

 

 

 

2

 

1FE

 

2,869,540.65

 

99.22

 

2,847,158.23

 

2,869,540.65

 

2,869,540.65

 

(22,382.42

)

 

 

 

0.63456

 

0.635

 

Monthly

 

252.90

 

13,604.00

 

7/30/2010

 

3/25/2025

 

78446JAA4

 

SLM STUDENT LOAN TRUST SLMA_11 ABS 11-2

 

 

 

 

 

2

 

1FE

 

11,134,510.69

 

98.65

 

11,005,529.01

 

11,156,136.86

 

11,135,080.73

 

(129,551.72

)

1,178.46

 

 

 

0.83456

 

0.86

 

Monthly

 

1,293.13

 

31,032.00

 

5/18/2011

 

11/25/2027

 

78446JAB2

 

SLMA_11-2 ABS 11-2

 

 

 

 

 

2

 

 

 

6,575,000.00

 

99.999

 

6,574,934.32

 

6,575,000.00

 

6,575,000.00

 

(65.68

)

 

 

 

1.43456

 

1.439

 

Monthly

 

1,310.03

 

31,758.00

 

5/18/2011

 

10/25/2034

 

78572MAD7

 

SABMILLER PLC CORP BND 144A

 

 

 

F

 

 

 

2FE

 

6,522,239.50

 

115.862

 

6,488,285.22

 

5,600,000.00

 

6,463,300.00

 

24,985.22

 

(58,939.50

)

 

 

6.5

 

2.993

 

Jan-Jul

 

91,000.00

 

182,000.00

 

5/24/2011

 

7/1/2016

 

790849AE3

 

ST. JUDE MEDICAL INC. CORP BND

 

 

 

 

 

 

 

1FE

 

6,365,893.24

 

106.197

 

6,367,590.77

 

5,996,000.00

 

6,284,100.37

 

83,490.40

 

(74,878.36

)

 

 

3.75

 

1.97

 

Jan-Jul

 

47,468.33

 

224,850.00

 

12/1/2010

 

7/15/2014

 

796269UF3

 

SAN ANTONIO TEX INDPT SCH DIST MUNI BND

 

 

 

 

 

 

 

 

 

1,000,000.00

 

103.762

 

1,037,620.01

 

1,000,000.00

 

1,000,000.00

 

37,620.01

 

 

 

 

2.235

 

2.235

 

Feb-Aug

 

2,855.83

 

14,031.00

 

12/15/2010

 

8/15/2014

 

80105NAC9

 

SANOFI AVENTIS CORP BND

 

 

 

 

 

 

 

1FE

 

18,170,920.00

 

99.764

 

18,107,166.00

 

18,150,000.00

 

18,169,219.58

 

(62,053.58

)

(1,700.42

)

 

 

0.67278

 

0.562

 

M-J-S-D

 

1,017.58

 

47,888.00

 

7/7/2011

 

3/28/2014

 

801060AA2

 

SANOFI AVENTIS CORP BND

 

 

 

F

 

 

 

1FE

 

2,996,310.00

 

100.226

 

3,006,779.94

 

3,000,000.00

 

2,996,313.33

 

10,466.61

 

3.33

 

 

 

1.2

 

1.242

 

Mar-Sep

 

100.00

 

 

9/27/2011

 

9/30/2014

 

80282DAB8

 

SDART_10-1 ABS 10-1-A2

 

 

 

 

 

2

 

1FE

 

447,638.23

 

100.24

 

447,644.65

 

446,574.13

 

447,255.40

 

389.25

 

(1,078.33

)

 

 

1.36

 

0.833

 

Monthly

 

269.93

 

2,024.00

 

5/27/2011

 

4/15/2012

 

806854AA3

 

SCHLUMBERGER INVESTMENT SA CORP BND 144A

 

 

 

F

 

 

 

1FE

 

6,089,325.00

 

99.531

 

6,071,421.13

 

6,100,000.00

 

6,089,420.33

 

(17,999.20

)

95.33

 

 

 

1.95

 

1.987

 

Mar-Sep

 

5,617.08

 

 

9/7/2011

 

9/14/2016

 

80685PAC2

 

SCHLUMBERGER NORGE AS CORP BND 144A

 

 

 

F

 

 

 

1FE

 

1,622,156.25

 

99.531

 

1,617,386.77

 

1,625,000.00

 

1,622,181.65

 

(4,794.88

)

25.40

 

 

 

1.95

 

1.987

 

Mar-Sep

 

1,496.35

 

 

9/7/2011

 

9/14/2016

 

80705TAA4

 

SCHOL_11-A ABS 11-A A 144A

 

 

 

 

 

2

 

1FE

 

2,798,997.01

 

96.73

 

2,761,980.25

 

2,855,350.20

 

2,800,023.96

 

(38,043.71

)

1,710.80

 

 

 

1.1526

 

1.312

 

J-A-J-O

 

5,942.22

 

11,197.00

 

3/22/2011

 

10/28/2043

 

816851AR0

 

SEMPRA ENERGY CORP BND

 

 

 

 

 

 

 

2FE

 

7,000,000.00

 

100.179

 

7,012,530.07

 

7,000,000.00

 

7,000,000.00

 

12,530.07

 

 

 

 

1.10711

 

1.069

 

M-J-S-D

 

3,444.34

 

35,682.00

 

3/17/2011

 

3/15/2014

 

81726JAC5

 

SENSATA TECHNOLOGIES FINANCE C TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

97.063

 

 

 

 

 

 

 

 

#N/A

 

0.135

 

#N/A

 

 

31,853.00

 

8/23/2011

 

5/9/2018

 

81760GAH7

 

SERVICEMASTER CO LN1 TERM LOAN

 

 

 

 

 

2

 

 

 

 

93.219

 

 

 

 

 

 

 

 

#N/A

 

1.597

 

#N/A

 

 

4,294.00

 

8/16/2011

 

7/24/2014

 

81760GAJ3

 

SERVICEMASTER CO LN1 TERM LOAN

 

 

 

 

 

2

 

 

 

 

93.219

 

 

 

 

 

 

 

 

#N/A

 

1.597

 

#N/A

 

 

43,624.00

 

8/16/2011

 

7/24/2014

 

822582AF9

 

SHELL INTL FINAN CORP BND

 

 

 

F

 

 

 

1FE

 

11,034,168.50

 

107.503

 

11,234,092.02

 

10,450,000.00

 

10,814,215.44

 

419,876.58

 

(105,385.74

)

 

 

4

 

2.537

 

Mar-Sep

 

11,611.12

 

418,000.00

 

3/2/2010

 

3/21/2014

 

822582AQ5

 

SHELL INTL FINAN CORP BND

 

 

 

F

 

 

 

1FE

 

12,215,823.75

 

105.987

 

12,850,954.19

 

12,125,000.00

 

12,194,495.67

 

656,458.52

 

(13,086.54

)

 

 

3.1

 

2.937

 

Jun-Dec

 

97,101.04

 

187,938.00

 

7/2/2010

 

6/28/2015

 

833656AF8

 

SOCIETE FINANCEMENT DE L ECONO CORP BND

 

 

 

F

 

 

 

1FE

 

6,122,426.76

 

101.331

 

6,201,433.15

 

6,120,000.00

 

6,121,135.24

 

80,297.91

 

(3,837.82

)

 

 

2.25

 

2.223

 

Jun-Dec

 

42,075.00

 

68,850.00

 

2/19/2010

 

6/11/2012

 

83714RAX1

 

SOUTH CAROLINA STUDENT LN MUNI BND REV

 

 

 

R

 

2

 

1FE

 

4,099,915.41

 

98.86

 

4,098,645.73

 

4,145,909.09

 

4,109,449.62

 

(10,803.89

)

16,790.53

 

 

 

0.42556

 

1.085

 

M-J-S-D

 

1,470.28

 

8,099.00

 

3/30/2011

 

12/3/2018

 

842587AB3

 

SOUTHERN COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

3,225,440.00

 

104.914

 

3,241,707.07

 

3,200,000.00

 

3,201,922.82

 

39,784.25

 

(4,911.39

)

 

 

5.3

 

5.086

 

Jan-Jul

 

35,804.44

 

169,600.00

 

10/23/2007

 

1/15/2012

 

84650WAA4

 

SPAREBNK 1 BOLIG LOCAL BND 144A

 

 

 

F

 

 

 

1FE

 

18,153,368.00

 

100.123

 

18,122,263.18

 

18,100,000.00

 

18,142,435.66

 

(20,172.48

)

(9,074.29

)

 

 

1.25

 

1.172

 

Apr-Oct

 

98,041.67

 

87,702.00

 

7/27/2011

 

10/25/2014

 

84650WAB2

 

SPAREBNK 1 BOLIG SECURED LOCAL BND 144A

 

 

 

F

 

 

 

1FE

 

9,295,908.00

 

102.246

 

9,508,878.19

 

9,300,000.00

 

9,296,174.10

 

212,704.09

 

266.10

 

 

 

2.625

 

2.634

 

May-Nov

 

84,087.49

 

 

5/23/2011

 

5/27/2016

 

85235XAA3

 

STADSHYPOTEK AB CORP BND 144A

 

 

 

F

 

 

 

1FE

 

16,656,910.97

 

100.786

 

16,629,690.50

 

16,500,000.00

 

16,615,048.13

 

14,642.37

 

(37,196.17

)

 

 

1.45

 

1.096

 

Mar-Sep

 

664.59

 

204,450.00

 

6/9/2011

 

9/30/2013

 

857477AC7

 

STATE STREET CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

1,101,889.80

 

99.818

 

1,137,930.17

 

1,140,000.00

 

1,134,336.21

 

3,593.96

 

7,242.00

 

 

 

0.35285

 

3.897

 

J-A-J-O

 

681.59

 

3,319.00

 

4/30/2008

 

4/30/2012

 

857477AJ2

 

STATE STREET CORPORATION CORP BND

 

 

 

 

 

 

 

1FE

 

5,000,000.00

 

99.146

 

4,957,277.85

 

5,000,000.00

 

5,000,000.00

 

(42,722.15

)

 

 

 

0.68278

 

0.66

 

M-J-S-D

 

2,275.93

 

16,119.00

 

3/2/2011

 

3/7/2014

 

85748KAA1

 

STATE STREET CAPITAL TRUST III CORP BND

 

 

 

 

 

 

 

1FE

 

6,113,218.00

 

101.051

 

6,063,073.86

 

6,000,000.00

 

6,029,285.87

 

33,787.99

 

(36,954.84

)

 

 

2.15

 

1.301

 

Apr-Oct

 

54,108.33

 

64,500.00

 

1/27/2010

 

4/30/2012

 

85771SAB2

 

STATOIL ASA CORP BND

 

 

 

F

 

 

 

1FE

 

8,220,819.00

 

106.999

 

8,452,904.17

 

7,900,000.00

 

8,106,881.98

 

346,022.19

 

(58,151.18

)

 

 

3.875

 

2.799

 

Apr-Oct

 

141,157.63

 

153,063.00

 

4/6/2010

 

4/15/2014

 

85771SAC0

 

STATOIL ASA CORP BND

 

 

 

F

 

 

 

1FE

 

303,690.00

 

105.14

 

315,420.87

 

300,000.00

 

302,385.53

 

13,035.34

 

(557.84

)

 

 

2.9

 

2.626

 

Apr-Oct

 

4,011.67

 

4,350.00

 

12/16/2009

 

10/15/2014

 

863667AA9

 

STRYKER CORP CORP BND

 

 

 

 

 

 

 

1FE

 

2,497,761.30

 

104.96

 

2,623,992.55

 

2,500,000.00

 

2,498,265.28

 

125,727.27

 

415.02

 

 

 

3

 

3.022

 

Jan-Jul

 

15,833.33

 

75,000.00

 

11/12/2010

 

1/15/2015

 

86386MAD6

 

STUDENT LOAN CON ABS_02-1-A4 144A

 

 

 

 

 

2

 

NR*Z*

 

 

0

 

 

 

 

 

593.79

 

 

 

#N/A

 

0

 

#N/A

 

 

3,300.00

 

00/00/0000

 

3/1/2042

 

86386MAE4

 

STUDENT LOAN CON ABS 02-1-A4 144A

 

 

 

 

 

2

 

NR*Z*

 

 

0

 

 

 

 

 

(198.55

)

 

 

#N/A

 

0

 

#N/A

 

 

3,209.00

 

00/00/0000

 

3/1/2042

 

86386MAK0

 

STUDENT LOAN CON ABS_02-02 A9 144A

 

 

 

 

 

2

 

NR*Z*

 

 

0

 

 

 

 

 

194.27

 

 

 

#N/A

 

0

 

#N/A

 

 

(744.00

)

12/27/2010

 

7/1/2042

 

86386MAY0

 

STUDENT LOAN CON ABS_11-1 A

 

 

 

 

 

2

 

1FE

 

11,700,905.93

 

99.624

 

11,656,901.16

 

11,700,905.93

 

11,700,905.93

 

(44,004.77

)

 

 

 

1.43839

 

1.48

 

Monthly

 

2,337.56

 

90,669.00

 

3/15/2011

 

10/25/2027

 

86736GAC8

 

SUNGARD DATA SYSTEMS INC. TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

96.25

 

 

 

 

 

 

 

 

#N/A

 

0.932

 

#N/A

 

 

 

9/30/2011

 

2/28/2014

 

86736GAF1

 

SUNGARD DATA SYSTEMS INC. LN1 TERM LOAN

 

 

 

 

 

 

 

3FE

 

 

97.5

 

 

 

 

 

 

 

 

#N/A

 

0.042

 

#N/A

 

 

31,431.00

 

6/8/2011

 

2/28/2014

 

86736GAG9

 

SUNGARD DATA SYSTEMS INC. TERM LOAN

 

 

 

 

 

2

 

3FE

 

 

96.188

 

 

 

 

 

 

 

 

#N/A

 

0.784

 

#N/A

 

 

 

8/9/2011

 

2/28/2016

 

86959LAA1

 

SVENSKA HANDELSBANKEN AB CORP BND 144A

 

 

 

F

 

 

 

1FE

 

7,060,839.00

 

106.218

 

7,329,042.14

 

6,900,000.00

 

6,994,894.28

 

334,147.86

 

(24,534.14

)

 

 

4.875

 

4.328

 

Jun-Dec

 

103,715.63

 

168,188.00

 

8/31/2009

 

6/10/2014

 

86959LAB9

 

SVENSKA HANDELSBANKEN AB CORP BND 144A

 

 

 

F

 

 

 

1FE

 

10,403,950.10

 

101.482

 

10,483,089.26

 

10,330,000.00

 

10,357,025.45

 

126,063.81

 

(40,469.50

)

 

 

2.875

 

2.595

 

Mar-Sep

 

14,024.42

 

296,988.00

 

1/5/2010

 

9/14/2012

 

87020LAB2

 

SPINTAB AB SWEDMORTGAGE CORP BND 144A

 

 

 

F

 

 

 

1FE

 

8,200,000.00

 

100.127

 

8,210,414.00

 

8,200,000.00

 

8,200,000.00

 

10,414.00

 

 

 

 

0.81278

 

0.758

 

M-J-S-D

 

555.40

 

30,485.00

 

3/21/2011

 

3/28/2014

 

87246AAA6

 

TIAA CMBS 07-C4 A1

 

 

 

 

 

2

 

NR*Z*

 

307,230.13

 

100.03

 

305,387.90

 

305,295.09

 

305,014.81

 

373.09

 

(7,159.24

)

 

 

5.54404

 

5.234

 

Monthly

 

987.34

 

75,271.00

 

12/21/2007

 

8/15/2039

 

87309LAE8

 

TWCC HOLDING CORP TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

98.563

 

 

 

 

 

 

 

 

#N/A

 

0.284

 

#N/A

 

 

22,551.00

 

8/23/2011

 

2/1/2017

 

87938WAB9

 

TELEFONICA SA CORP BND

 

 

 

F

 

 

 

2FE

 

4,114,088.60

 

102.521

 

3,824,045.95

 

3,730,000.00

 

4,102,183.27

 

(278,137.32

)

(11,905.33

)

 

 

6.421

 

4.074

 

Jun-Dec

 

67,193.98

 

 

8/1/2011

 

6/20/2016

 

880591CW0

 

TENN VALLEY AUTH AGENCY BND

 

 

 

 

 

 

 

1

 

1,302,900.01

 

107.888

 

1,248,264.08

 

1,157,000.00

 

1,228,466.15

 

19,797.93

 

(35,913.35

)

 

 

6

 

1.687

 

Mar-Sep

 

3,085.33

 

69,420.00

 

3/10/2010

 

3/15/2013

 

880591DT6

 

TENNESSEE VALLEY AUTHORITY AGENCY BND

 

 

 

 

 

 

 

1

 

4,539,760.00

 

104.201

 

4,168,045.01

 

4,000,000.00

 

4,133,056.48

 

34,988.53

 

(153,020.00

)

 

 

6.79

 

1.575

 

May-Nov

 

96,568.89

 

135,800.00

 

9/25/2009

 

5/23/2012

 

88166BAA8

 

TEVA PHARMACEUTICAL FINANCE II CORP BND

 

 

 

R

 

 

 

1FE

 

2,300,000.00

 

100.024

 

2,300,551.86

 

2,300,000.00

 

2,300,000.00

 

551.86

 

 

 

 

0.75022

 

0.939

 

M-J-S-D

 

575.17

 

11,973.00

 

6/15/2010

 

12/19/2011

 

88166BAB6

 

TEVA PHARMACEUTICAL FINANCE II CORP BND

 

 

 

R

 

 

 

1FE

 

5,863,229.50

 

100.538

 

5,881,444.16

 

5,850,000.00

 

5,857,468.23

 

23,975.93

 

(6,807.96

)

 

 

1.5

 

1.317

 

Jun-Dec

 

25,837.50

 

43,875.00

 

1/31/2011

 

6/15/2012

 

88166CAA6

 

TEVA PHARMACEUTICAL FINANCE II CORP BND

 

 

 

F

 

 

 

1FE

 

8,739,585.99

 

104.766

 

9,166,984.40

 

8,750,000.00

 

8,741,849.11

 

425,135.29

 

1,692.73

 

 

 

3

 

3.027

 

Jun-Dec

 

77,291.66

 

131,250.00

 

11/12/2010

 

6/15/2015

 

88166DAB2

 

TEVA PHARMACEUTICAL FINANCE II CORP BND

 

 

 

F

 

 

 

1FE

 

2,450,000.00

 

99.995

 

2,449,883.80

 

2,450,000.00

 

2,450,000.00

 

(116.20

)

 

 

 

0.8525

 

0.809

 

M-J-S-D

 

580.17

 

9,745.00

 

3/16/2011

 

3/21/2014

 

882508AS3

 

TEXAS INSTRUMENTS INCORPORATED CORP BND

 

 

 

 

 

 

 

1FE

 

14,050,000.00

 

100.001

 

14,050,140.36

 

14,050,000.00

 

14,050,000.00

 

140.36

 

 

 

 

0.46617

 

0.439

 

F-M-A-N

 

8,550.98

 

14,375.00

 

5/16/2011

 

5/15/2013

 

883556AW2

 

THERMO FISHER SCIENTIFIC INC CORP BND

 

 

 

 

 

 

 

1FE

 

2,999,130.00

 

102.536

 

3,076,091.31

 

3,000,000.00

 

2,999,301.80

 

76,789.51

 

171.80

 

 

 

2.05

 

2.06

 

Feb-Aug

 

6,833.33

 

30,579.00

 

2/14/2011

 

2/21/2014

 

883556BA9

 

THERMO FISHER SCIENTIFIC CORP BND

 

 

 

 

 

 

 

1FE

 

648,869.00

 

99.999

 

649,996.43

 

650,000.00

 

648,895.81

 

1,100.62

 

45.64

 

 

 

2.25

 

2.287

 

Feb-Aug

 

1,828.13

 

 

8/9/2011

 

8/15/2016

 

88579EAD7

 

3M COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

4,363,958.25

 

104.913

 

4,275,223.50

 

4,075,000.00

 

4,180,297.42

 

94,926.08

 

(63,936.79

)

 

 

4.65

 

2.459

 

Jun-Dec

 

55,793.54

 

94,744.00

 

7/20/2009

 

12/15/2012

 

88579YAD3

 

3M COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

13,039,014.00

 

99.88

 

13,134,272.86

 

13,150,000.00

 

13,039,131.76

 

95,141.10

 

117.76

 

 

 

1.375

 

1.551

 

Mar-Sep

 

1,004.51

 

 

9/26/2011

 

9/29/2016

 

887317AJ4

 

TIME WARNER INC CORP BND

 

 

 

 

 

 

 

2FE

 

1,555,770.00

 

102.882

 

1,543,232.24

 

1,500,000.00

 

1,544,565.14

 

(1,332.90

)

(38,410.57

)

 

 

3.15

 

2.326

 

Jan-Jul

 

8,925.00

 

47,381.00

 

9/23/2010

 

7/15/2015

 

88732JAK4

 

TIME WARNER CABLE INC CORP BND

 

 

 

 

 

 

 

2FE

 

1,676,085.00

 

107.896

 

1,618,442.58

 

1,500,000.00

 

1,600,890.58

 

17,552.00

 

(42,096.63

)

 

 

6.2

 

2.257

 

Jan-Jul

 

23,250.00

 

93,000.00

 

5/20/2010

 

7/1/2013

 

88732JAR9

 

TIME WARNER CABLE INC CORP BND

 

 

 

 

 

 

 

2FE

 

4,599,160.00

 

113.944

 

4,557,767.32

 

4,000,000.00

 

4,510,335.02

 

47,432.30

 

(88,824.98

)

 

 

7.5

 

2.225

 

Apr-Oct

 

150,000.00

 

 

4/14/2011

 

4/1/2014

 

88732JAV0

 

TIME WARNER CABLE INC CORP BND

 

 

 

 

 

 

 

2FE

 

7,823,158.00

 

103.991

 

7,695,327.56

 

7,400,000.00

 

7,732,758.27

 

(37,430.71

)

(76,465.39

)

 

 

3.5

 

2.096

 

Feb-Aug

 

43,166.67

 

259,000.00

 

10/15/2010

 

2/1/2015

 

89114QAB4

 

TORONTO-DOMINION BANK CORP BND MTN

 

 

 

A

 

 

 

1FE

 

3,486,945.00

 

102.041

 

3,571,419.25

 

3,500,000.00

 

3,487,473.74

 

83,945.51

 

528.74

 

 

 

2.5

 

2.58

 

Jan-Jul

 

18,715.28

 

 

7/7/2011

 

7/14/2016

 

89114QAC2

 

TORONTO-DOMINION BANK CORP BND

 

 

 

A

 

 

 

1FE

 

2,300,000.00

 

100.052

 

2,301,196.05

 

2,300,000.00

 

2,300,000.00

 

1,196.05

 

 

 

 

0.549

 

0.549

 

J-A-J-O

 

2,770.93

 

 

7/7/2011

 

7/14/2014

 

89152UAE2

 

TOTAL CAPITAL S.A. CORP BND

 

 

 

F

 

 

 

1FE

 

2,033,440.00

 

102.564

 

2,051,285.70

 

2,000,000.00

 

2,028,112.09

 

23,173.61

 

(7,670.59

)

 

 

2.3

 

1.969

 

Mar-Sep

 

2,044.44

 

46,000.00

 

11/4/2010

 

3/15/2016

 

89233P4B9

 

TOYOTA MOTOR CREDIT CORP CORP BND MTN

 

 

 

 

 

 

 

1FE

 

1,997,706.43

 

104.819

 

2,096,381.22

 

2,000,000.00

 

1,998,156.34

 

98,224.88

 

381.23

 

 

 

3.2

 

3.227

 

Jun-Dec

 

18,488.89

 

32,000.00

 

11/12/2010

 

6/17/2015

 

89233P4H6

 

TOYOTA MOTOR CREDIT CORP CORP BND

 

 

 

 

 

 

 

1FE

 

999,219.60

 

100.96

 

1,009,603.65

 

1,000,000.00

 

999,471.92

 

10,131.73

 

1,002.49

 

 

 

1.375

 

1.404

 

Feb-Aug

 

1,871.53

 

13,750.00

 

11/12/2010

 

8/12/2013

 

89233P4R4

 

TOYOTA MOTOR CREDIT CORP CORP BND MTN

 

 

 

 

 

 

 

1FE

 

2,094,780.00

 

102.848

 

2,056,966.86

 

2,000,000.00

 

2,093,513.81

 

(36,546.95

)

(1,266.19

)

 

 

2.8

 

1.663

 

Jan-Jul

 

12,444.44

 

 

9/6/2011

 

1/11/2016

 

89233P5E2

 

TOYOTA MOTOR CREDIT CORP CORP BND MTN

 

 

 

 

 

 

 

1FE

 

8,455,885.00

 

99.252

 

8,436,425.10

 

8,500,000.00

 

8,456,254.77

 

(19,829.67

)

369.77

 

 

 

2

 

2.11

 

Mar-Sep

 

7,555.55

 

 

9/8/2011

 

9/15/2016

 

89235UAD5

 

TOYOTA AUTO RECEIVABLES OWNER TAOT

 

 

 

 

 

2

 

1FE

 

4,999,209.00

 

100.574

 

5,028,697.50

 

5,000,000.00

 

4,999,489.88

 

29,207.62

 

218.34

 

 

 

1.09

 

1.098

 

Monthly

 

2,422.22

 

40,875.00

 

9/22/2010

 

12/15/2014

 

89235YAC9

 

TAOT_10-B ABS_10-B A3

 

 

 

 

 

2

 

1FE

 

4,089,646.62

 

100.285

 

4,101,662.89

 

4,090,000.00

 

4,089,857.83

 

11,805.06

 

136.84

 

 

 

1.04

 

1.047

 

Monthly

 

1,890.49

 

31,902.00

 

7/14/2010

 

2/18/2014

 

89235YAD7

 

TAOT_10-B ABS_10-B A4

 

 

 

 

 

2

 

1FE

 

1,099,799.58

 

101.066

 

1,111,730.47

 

1,100,000.00

 

1,099,879.51

 

11,850.96

 

51.53

 

 

 

1.47

 

1.481

 

Monthly

 

718.67

 

12,128.00

 

7/14/2010

 

1/17/2017

 

89334GAG9

 

TRANSUNION CORP TERM LOAN

 

 

 

 

 

1

 

3FE

 

 

97.375

 

 

 

 

 

 

 

 

#N/A

 

0.464

 

#N/A

 

 

8,446.00

 

8/29/2011

 

2/3/2018

 

893526DH3

 

TRANSCANADA PIPELINES LIMITED CORP BND

 

 

 

A

 

 

 

1FE

 

7,668,401.75

 

105.106

 

8,066,863.48

 

7,675,000.00

 

7,670,055.43

 

396,808.05

 

936.03

 

 

 

3.4

 

3.419

 

Jun-Dec

 

86,983.33

 

130,475.00

 

5/27/2010

 

6/1/2015

 

89364MAQ7

 

TRANSDIGM GROUP INC TERM LOAN

 

 

 

 

 

2

 

1Z

 

 

97.578

 

 

 

 

 

 

 

 

#N/A

 

0.656

 

#N/A

 

 

 

8/29/2011

 

2/14/2017

 

902118BK3

 

TYCO INTERNATIONAL GROUP SA CORP BND

 

 

 

F

 

 

 

1FE

 

5,616,616.50

 

109.685

 

5,429,383.59

 

4,950,000.00

 

5,413,725.13

 

15,658.46

 

(159,969.29

)

 

 

6

 

1.498

 

May-Nov

 

112,200.00

 

148,500.00

 

10/14/2010

 

11/15/2013

 

90261XGX4

 

UBS AG CORP BND

 

 

 

F

 

 

 

1FE

 

2,898,753.00

 

97.397

 

2,824,524.17

 

2,900,000.00

 

2,899,027.20

 

(74,503.03

)

319.35

 

 

 

2.25

 

2.265

 

Jan-Jul

 

11,418.75

 

32,625.00

 

1/25/2011

 

1/28/2014

 

90290FAC0

 

USAOT_1-1 ABS 10-1 A3

 

 

 

 

 

2

 

1FE

 

1,633,274.87

 

100.37

 

1,637,526.95

 

1,631,490.44

 

1,632,119.21

 

5,407.74

 

(1,274.16

)

 

 

1.3

 

1.242

 

Monthly

 

942.64

 

15,907.00

 

4/28/2010

 

1/15/2013

 

90345AAC6

 

US CENTRAL CREDIT UNION - (LT) CORP BND

 

 

 

 

 

 

 

1FE

 

11,720,894.30

 

101.59

 

11,814,917.47

 

11,630,000.00

 

11,666,301.96

 

148,615.51

 

(30,225.03

)

 

 

1.9

 

1.599

 

Apr-Oct

 

99,436.50

 

110,485.00

 

3/4/2010

 

10/19/2012

 

90429PAC2

 

UCI INTERNATIONAL TL B TERM LOAN

 

 

 

 

 

 

 

4FE

 

 

99

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

5,362.00

 

1/20/2011

 

7/6/2017

 

911312AG1

 

UNITED PARCEL SERVICE INC CORP BND

 

 

 

 

 

 

 

1FE

 

12,184,671.00

 

105.193

 

11,991,956.85

 

11,400,000.00

 

11,722,384.82

 

269,572.03

 

(183,707.05

)

 

 

4.5

 

2.259

 

Jan-Jul

 

108,300.00

 

513,000.00

 

1/22/2010

 

1/15/2013

 

911312AL0

 

UNITED PARCEL SERVICE INC CORP BND

 

 

 

 

 

 

 

1FE

 

12,414,426.00

 

107.666

 

12,704,542.10

 

11,800,000.00

 

12,196,952.56

 

507,589.54

 

(113,864.32

)

 

 

3.875

 

2.479

 

Apr-Oct

 

228,625.01

 

228,625.00

 

4/20/2010

 

4/1/2014

 

91159HGS3

 

US BANCORP CORP BND

 

 

 

 

 

 

 

1FE

 

1,250,062.50

 

101.317

 

1,266,463.28

 

1,250,000.00

 

1,250,031.68

 

16,431.60

 

(16.93

)

 

 

2.125

 

2.123

 

Feb-Aug

 

3,394.10

 

26,563.00

 

12/16/2009

 

2/15/2013

 

91159HGU8

 

US BANCORP CORP BND MTN

 

 

 

 

 

 

 

1FE

 

549,043.00

 

103.957

 

571,761.24

 

550,000.00

 

549,328.23

 

22,433.01

 

136.73

 

 

 

3.15

 

3.188

 

Mar-Sep

 

1,299.38

 

17,325.00

 

3/1/2010

 

3/4/2015

 

91159HGW4

 

US BANCORP CORP BND

 

 

 

 

 

 

 

1FE

 

10,554,342.50

 

101.421

 

10,699,924.15

 

10,550,000.00

 

10,554,969.71

 

144,954.44

 

(1,505.93

)

 

 

2

 

1.971

 

Jun-Dec

 

62,713.88

 

105,500.00

 

2/2/2011

 

6/14/2013

 

91159HGX2

 

US BANCORP CORP BND

 

 

 

 

 

 

 

1FE

 

999,020.00

 

102.39

 

1,023,897.55

 

1,000,000.00

 

999,240.56

 

24,656.99

 

805.61

 

 

 

2.45

 

2.471

 

Jan-Jul

 

4,355.56

 

24,500.00

 

7/22/2010

 

7/27/2015

 

91159HGY0

 

US BANCORP CORP BND

 

 

 

 

 

1

 

1FE

 

5,442,969.50

 

100.231

 

5,462,612.94

 

5,450,000.00

 

5,445,395.41

 

17,217.53

 

1,726.33

 

 

 

1.375

 

1.419

 

Mar-Sep

 

3,746.88

 

74,938.00

 

9/8/2010

 

9/13/2013

 

91159HGZ7

 

US BANCORP CORP BND

 

 

 

 

 

1

 

1FE

 

1,997,060.00

 

99.735

 

1,994,697.42

 

2,000,000.00

 

1,997,947.58

 

(3,250.16

)

1,374.99

 

 

 

1.125

 

1.175

 

Apr-Oct

 

9,437.50

 

11,125.00

 

10/28/2010

 

10/30/2013

 

912828GC8

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

3,286,406.25

 

101.102

 

3,033,059.91

 

3,000,000.00

 

3,019,251.41

 

13,808.50

 

(58,001.34

)

 

 

4.625

 

2.004

 

Jun-Dec

 

35,064.54

 

69,375.00

 

3/7/2008

 

12/31/2011

 

912828HY9

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

3,456,386.72

 

104.531

 

3,658,585.21

 

3,500,000.00

 

3,485,486.05

 

173,099.16

 

7,039.40

 

 

 

3.125

 

3.397

 

Apr-Oct

 

45,771.06

 

54,688.00

 

5/30/2008

 

4/30/2013

 

912828JM3

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

2,037,265.63

 

105.649

 

2,112,980.20

 

2,000,000.00

 

2,015,685.44

 

97,294.76

 

(18,046.00

)

 

 

3.125

 

2.718

 

Mar-Sep

 

170.76

 

62,500.00

 

10/7/2008

 

9/30/2013

 

912828JT8

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

12,709,359.38

 

103.603

 

12,743,168.63

 

12,300,000.00

 

12,654,690.34

 

88,478.29

 

(75,530.22

)

 

 

2

 

0.656

 

May-Nov

 

82,672.13

 

 

5/26/2011

 

11/30/2013

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

912828JZ4

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

15,224,439.51

 

103.239

 

15,898,805.69

 

15,400,000.00

 

15,271,756.03

 

627,049.66

 

49,866.65

 

 

 

1.75

 

2.118

 

Jan-Jul

 

45,404.89

 

269,500.00

 

11/12/2010

 

1/31/2014

 

912828KF6

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

6,158,320.31

 

103.592

 

6,215,520.18

 

6,000,000.00

 

6,113,148.87

 

102,371.31

 

(57,839.49

)

 

 

1.875

 

1.082

 

Feb-Aug

 

9,581.04

 

112,500.00

 

12/17/2010

 

2/28/2014

 

912828LC2

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

20,597,062.50

 

106.188

 

20,919,035.22

 

19,700,000.00

 

20,410,640.83

 

508,394.39

 

(188,054.41

)

 

 

2.625

 

1.323

 

Jan-Jul

 

87,124.33

 

517,125.00

 

12/23/2010

 

7/31/2014

 

912828LK4

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

31,588,030.19

 

105.607

 

31,998,919.49

 

30,300,000.00

 

31,273,751.94

 

725,167.55

 

(359,961.04

)

 

 

2.375

 

1.249

 

Feb-Aug

 

61,286.75

 

719,625.00

 

11/12/2010

 

8/31/2014

 

912828LR9

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

39,634,146.60

 

101.221

 

39,982,295.40

 

39,500,000.00

 

39,570,388.35

 

411,907.05

 

(75,379.82

)

 

 

1.375

 

1.201

 

Apr-Oct

 

250,787.22

 

271,563.00

 

8/19/2010

 

10/15/2012

 

912828LZ1

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

23,576,965.22

 

105.148

 

23,658,300.68

 

22,500,000.00

 

23,342,947.91

 

315,352.77

 

(624,209.12

)

 

 

2.125

 

0.921

 

May-Nov

 

160,681.34

 

239,063.00

 

1/12/2011

 

11/30/2014

 

912828MB3

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

3,799,122.17

 

101.105

 

3,862,210.85

 

3,820,000.00

 

3,811,518.90

 

50,691.95

 

12,903.01

 

 

 

1.125

 

1.311

 

Jun-Dec

 

12,681.15

 

21,488.00

 

12/11/2009

 

12/15/2012

 

912828MH0

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

12,914,223.24

 

105.698

 

13,740,739.74

 

13,000,000.00

 

12,941,705.22

 

799,034.52

 

17,883.41

 

 

 

2.25

 

2.391

 

Jan-Jul

 

49,279.89

 

292,500.00

 

1/29/2010

 

1/31/2015

 

912828MM9

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

4,999,430.81

 

100.11

 

5,005,500.40

 

5,000,000.00

 

4,999,952.89

 

5,547.51

 

214.57

 

 

 

0.75

 

0.756

 

May-Nov

 

12,602.46

 

18,750.00

 

12/3/2009

 

11/30/2011

 

912828MN7

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

15,941,238.41

 

101.556

 

16,154,512.92

 

15,907,000.00

 

15,924,644.13

 

229,868.79

 

(21,747.89

)

 

 

1.375

 

1.293

 

Feb-Aug

 

27,934.52

 

218,721.00

 

9/9/2010

 

2/15/2013

 

912828MT4

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

10,182,846.00

 

101.647

 

10,164,701.10

 

10,000,000.00

 

10,173,115.34

 

(8,414.24

)

(9,730.66

)

 

 

1.375

 

0.184

 

Mar-Sep

 

6,043.96

 

68,750.00

 

8/31/2011

 

3/15/2013

 

912828MU1

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

1,198,832.15

 

100.438

 

1,205,255.95

 

1,200,000.00

 

1,199,707.36

 

5,548.59

 

(11,472.63

)

 

 

1

 

1.049

 

Mar-Sep

 

33.34

 

12,000.00

 

3/30/2010

 

3/31/2012

 

912828NC0

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

8,147,214.30

 

101.782

 

8,142,559.84

 

8,000,000.00

 

8,146,479.94

 

(3,920.10

)

(1,625.34

)

 

 

1.375

 

0.243

 

May-Nov

 

41,548.91

 

 

9/26/2011

 

5/15/2013

 

912828NF3

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

9,707,493.76

 

105.504

 

9,885,724.62

 

9,370,000.00

 

9,682,311.52

 

203,413.10

 

(59,238.63

)

 

 

2.125

 

1.192

 

May-Nov

 

66,914.86

 

34,531.00

 

6/22/2011

 

5/31/2015

 

912828NQ9

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

5,812,906.15

 

100.375

 

5,821,750.00

 

5,800,000.00

 

5,805,472.36

 

16,277.64

 

(4,916.98

)

 

 

0.625

 

0.511

 

Jan-Jul

 

6,107.33

 

36,250.00

 

8/13/2010

 

7/31/2012

 

912828NX4

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

4,000,482.15

 

100.189

 

4,007,560.12

 

4,000,000.00

 

4,000,208.99

 

7,351.13

 

854.59

 

 

 

0.375

 

0.368

 

Mar-Sep

 

40.99

 

15,000.00

 

10/15/2010

 

9/30/2012

 

912828NY2

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

10,018,392.88

 

100.896

 

10,089,600.40

 

10,000,000.00

 

10,012,046.46

 

77,553.94

 

(4,718.34

)

 

 

0.75

 

0.686

 

Mar-Sep

 

3,296.70

 

75,000.00

 

9/24/2010

 

9/15/2013

 

912828NZ9

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

12,703,744.67

 

102.207

 

12,673,668.99

 

12,400,000.00

 

12,701,311.18

 

(27,642.19

)

(3,334.00

)

 

 

1.25

 

0.633

 

Mar-Sep

 

423.50

 

77,500.00

 

9/16/2011

 

9/30/2015

 

912828PJ3

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

9,445,820.32

 

102.595

 

9,746,524.43

 

9,500,000.00

 

9,449,833.13

 

296,691.30

 

49,627.93

 

 

 

1.375

 

1.505

 

May-Nov

 

43,898.57

 

 

5/26/2011

 

11/30/2015

 

912828PU8

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

1,793,326.34

 

100.385

 

1,806,929.91

 

1,800,000.00

 

1,795,266.28

 

11,663.63

 

15,799.33

 

 

 

0.5

 

0.625

 

May-Nov

 

3,399.46

 

4,500.00

 

11/9/2010

 

11/15/2013

 

912828QE3

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

399,829.47

 

100.615

 

402,459.99

 

400,000.00

 

399,864.63

 

2,595.36

 

35.16

 

 

 

0.625

 

0.647

 

Apr-Oct

 

1,046.20

 

 

4/27/2011

 

4/30/2013

 

912828QL7

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

3,009,140.64

 

100.793

 

3,023,790.21

 

3,000,000.00

 

3,007,219.17

 

16,571.04

 

(3,399.94

)

 

 

0.75

 

0.588

 

Mar-Sep

 

61.81

 

11,250.00

 

4/28/2011

 

3/31/2013

 

912828QU7

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

12,947,453.12

 

100.599

 

12,926,971.37

 

12,850,000.00

 

12,942,890.02

 

(15,918.65

)

(4,567.14

)

 

 

0.625

 

0.364

 

Jan-Jul

 

17,022.75

 

 

8/9/2011

 

7/15/2014

 

912828QX1

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

102,605,567.12

 

102.685

 

103,198,423.00

 

100,500,000.00

 

102,551,620.65

 

646,802.35

 

(55,704.73

)

 

 

1.5

 

1.065

 

Jan-Jul

 

253,980.97

 

 

8/16/2011

 

7/31/2016

 

912828RB8

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

8,243,589.97

 

100.248

 

8,220,336.08

 

8,200,000.00

 

8,241,741.69

 

(21,405.61

)

(1,848.28

)

 

 

0.5

 

0.322

 

Feb-Aug

 

5,236.41

 

 

8/10/2011

 

8/15/2014

 

912828RD4

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

14,978,370.57

 

99.753

 

14,962,949.70

 

15,000,000.00

 

14,979,084.52

 

(16,134.82

)

713.95

 

 

 

0.125

 

0.197

 

Feb-Aug

 

1,579.48

 

 

9/6/2011

 

8/31/2013

 

912828RF9

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

48,775,832.90

 

100.24

 

48,616,395.15

 

48,500,000.00

 

48,774,058.44

 

(157,663.29

)

(2,190.04

)

 

 

1

 

0.882

 

Feb-Aug

 

41,557.70

 

 

9/30/2011

 

8/31/2016

 

912828RG7

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

9,975,814.75

 

99.492

 

9,949,199.70

 

10,000,000.00

 

9,976,014.55

 

(26,814.85

)

199.80

 

 

 

0.25

 

0.332

 

Mar-Sep

 

1,098.90

 

 

9/21/2011

 

9/15/2014

 

912828RJ1

 

UNITED STATES TREASURY GOVT BND

 

 

 

 

 

 

 

1

 

7,207,055.28

 

100.141

 

7,210,151.93

 

7,200,000.00

 

7,207,051.51

 

3,100.42

 

(3.77

)

 

 

1

 

0.98

 

Mar-Sep

 

196.72

 

 

9/27/2011

 

9/30/2016

 

913017BF5

 

UNITED TECHNOLOGIES CORP CORP BND

 

 

 

 

 

 

 

1FE

 

799,383.20

 

103.396

 

796,152.12

 

770,000.00

 

775,416.95

 

20,735.17

 

(6,307.59

)

 

 

6.1

 

4.936

 

May-Nov

 

17,744.22

 

23,485.00

 

9/24/2008

 

5/15/2012

 

91412GFC4

 

UNIVERSITY CALIF REVS MUNI BND REV

 

 

 

 

 

 

 

1FE

 

1,300,000.00

 

100.201

 

1,302,612.95

 

1,300,000.00

 

1,300,000.00

 

2,612.95

 

 

 

 

0.887

 

0.887

 

Jan-Jul

 

2,049.96

 

 

7/20/2011

 

7/1/2013

 

914455KX7

 

UNIVERSITY MICH UNIV REVS MUNITAX BND

 

 

 

 

 

 

 

 

 

3,500,000.00

 

101.201

 

3,542,034.86

 

3,500,000.00

 

3,500,000.00

 

42,034.86

 

 

 

 

1.754

 

1.754

 

Apr-Oct

 

30,695.00

 

24,215.00

 

10/28/2010

 

4/1/2015

 

914908AN8

 

UNIVISION COMMUNICATIONS INC. TERM LOAN

 

 

 

 

 

 

 

4FE

 

 

83.917

 

 

 

 

 

 

 

 

#N/A

 

0.7

 

#N/A

 

 

148,106.00

 

8/5/2011

 

3/31/2017

 

91913YAQ3

 

VALERO ENERGY CORPORATION CORP BND

 

 

 

 

 

 

 

2FE

 

1,531,485.00

 

106.191

 

1,592,863.77

 

1,500,000.00

 

1,523,049.15

 

69,814.62

 

(4,782.50

)

 

 

4.5

 

4.003

 

Feb-Aug

 

11,250.00

 

67,500.00

 

5/20/2010

 

2/1/2015

 

92343VAZ7

 

VERIZON COMMUNICATIONS INC. CORP BND FRN

 

 

 

 

 

 

 

1FE

 

9,900,000.00

 

100.28

 

9,927,719.90

 

9,900,000.00

 

9,900,000.00

 

27,719.90

 

 

 

 

0.97278

 

0.919

 

M-J-S-D

 

802.54

 

44,901.00

 

3/23/2011

 

3/28/2014

 

92344GAW6

 

VERIZON COMMUNICATIONS INC. CORP BND

 

 

 

 

 

 

 

1FE

 

6,784,125.00

 

101.199

 

6,999,226.07

 

6,250,000.00

 

6,639,440.48

 

359,785.59

 

(68,010.28

)

 

 

4.9

 

3.21

 

Mar-Sep

 

13,611.11

 

306,250.00

 

2/17/2010

 

9/15/2015

 

92344SAJ9

 

CELLCO PARTNERSHIP/VERIZON WIR CORP BND

 

 

 

 

 

 

 

1FE

 

6,369,194.90

 

112.551

 

6,222,947.45

 

5,529,000.00

 

6,036,901.09

 

186,046.36

 

(172,160.12

)

 

 

7.375

 

2.876

 

May-Nov

 

154,044.09

 

203,882.00

 

4/20/2010

 

11/15/2013

 

92344SAN0

 

CELLCO PARTNERSHIP/VERIZON WIR CORP BND

 

 

 

 

 

 

 

1FE

 

7,987,672.58

 

101.42

 

8,062,885.32

 

7,950,000.00

 

7,955,941.64

 

106,943.68

 

(13,113.91

)

 

 

5.25

 

5.021

 

Feb-Aug

 

69,562.50

 

417,375.00

 

11/10/2009

 

2/1/2012

 

92344SAP5

 

CELLCO PARTNERSHIP/VERIZON WIR CORP BND

 

 

 

 

 

 

 

1FE

 

21,894,748.59

 

109.436

 

23,118,381.87

 

21,125,000.00

 

21,646,687.39

 

1,471,694.48

 

(195,737.40

)

 

 

5.55

 

4.4

 

Feb-Aug

 

195,406.25

 

1,172,438.00

 

11/12/2010

 

2/1/2014

 

92531SAW3

 

VERTAFORE INC TERM LOAN

 

 

 

 

 

2

 

1Z

 

 

96.063

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

7/21/2011

 

7/29/2016

 

928670AE8

 

VW INTL FIN N.V. CORP BND 144A

 

 

 

F

 

 

 

1FE

 

8,105,061.80

 

100.256

 

8,100,685.12

 

8,080,000.00

 

8,102,306.99

 

(1,621.87

)

(2,754.81

)

 

 

0.85575

 

0.784

 

J-A-J-O

 

17,670.29

 

11,845.00

 

7/12/2011

 

4/1/2014

 

92867DAD2

 

VALET_11-1 ABS_11-1 A4

 

 

 

 

 

2

 

 

 

2,062,187.50

 

102.852

 

2,057,037.20

 

2,000,000.00

 

2,061,619.93

 

(4,582.73

)

(567.57

)

 

 

1.98

 

1.022

 

Monthly

 

1,210.00

 

 

9/15/2011

 

9/20/2015

 

92869AAC8

 

VALET_2010-1 ABS 10-1-A3

 

 

 

 

 

2

 

1FE

 

611,135.45

 

100.313

 

609,639.84

 

607,740.65

 

610,306.93

 

(667.09

)

(1,902.47

)

 

 

1.31

 

0.647

 

Monthly

 

243.27

 

3,317.00

 

5/12/2011

 

12/20/2012

 

92922F3N6

 

WAMU_05-A12 CMO_05-AR12 1A8

 

 

 

 

 

2

 

NR*Z*

 

3,699,058.77

 

79.477

 

2,970,054.46

 

3,737,012.82

 

3,700,672.88

 

(730,618.42

)

3,437.34

 

 

 

2.50111

 

2.694

 

Monthly

 

7,788.90

 

75,471.00

 

1/10/2008

 

10/25/2035

 

92922FNJ3

 

WASHINGTON MUTUAL WHOLE CMO 04-AR3 A2

 

 

 

 

 

2

 

NR*Z*

 

678,089.47

 

96.776

 

672,353.85

 

694,752.68

 

678,828.15

 

(6,474.30

)

2,343.36

 

 

 

2.576837

 

3.119

 

Monthly

 

1,491.89

 

13,681.00

 

8/10/2007

 

6/25/2034

 

92922FW46

 

WASHINGTON MUTUAL CMO 05-AR10 1A3

 

 

 

 

 

2

 

3FE

 

2,939,882.81

 

69.225

 

2,076,750.00

 

3,000,000.00

 

2,961,800.81

 

(885,050.81

)

2,679.97

 

 

 

2.50811

 

2.691

 

Monthly

 

6,270.28

 

60,986.00

 

3/24/2006

 

9/25/2035

 

92924SAA6

 

WESTFIELD GROUP CORP BND 144A

 

 

 

R

 

 

 

1FE

 

2,960,718.75

 

93.983

 

3,156,767.01

 

3,025,000.00

 

3,009,611.04

 

147,155.97

 

10,900.14

 

 

 

5.4

 

5.929

 

Apr-Oct

 

81,675.00

 

81,675.00

 

12/24/2008

 

10/1/2012

 

92928WAF2

 

WMC FINANCE LTD CORP BND

 

 

 

F

 

 

 

1FE

 

2,162,260.00

 

106.112

 

2,122,230.52

 

2,000,000.00

 

2,081,729.10

 

40,501.42

 

(41,948.71

)

 

 

5.125

 

2.537

 

May-Nov

 

38,722.22

 

51,250.00

 

1/27/2010

 

5/15/2013

 

929766CT8

 

WACHOVIA BANK COMM MTG TR CMBS 03-C3

 

 

 

 

 

2

 

1FE

 

416,959.89

 

99.385

 

428,544.73

 

429,069.48

 

427,812.13

 

732.60

 

21,427.68

 

 

 

4.037

 

5.21

 

Monthly

 

1,443.46

 

12,991.00

 

8/27/2008

 

2/15/2035

 

92976WBA3

 

WACHOVIA CORPORATION CORP BND MTN

 

 

 

 

 

 

 

1FE

 

527,500.00

 

101.414

 

538,728.64

 

500,000.00

 

509,950.46

 

28,778.18

 

(3,842.73

)

 

 

5.7

 

4.556

 

Feb-Aug

 

4,750.00

 

28,500.00

 

1/31/2008

 

8/1/2013

 

92976WBJ4

 

WACHOVIA CORPORATION CORP BND MTN

 

 

 

 

 

 

 

1FE

 

427,674.40

 

106.308

 

425,233.31

 

400,000.00

 

412,916.26

 

12,317.05

 

(169,096.05

)

 

 

5.5

 

3.389

 

May-Nov

 

9,166.67

 

11,000.00

 

10/29/2009

 

5/1/2013

 

931142AS2

 

WAL-MART STORES INC CORP BND

 

 

 

 

 

 

 

1FE

 

6,759,610.00

 

110.648

 

6,417,590.78

 

5,800,000.00

 

6,366,538.62

 

51,052.16

 

(250,451.52

)

 

 

7.25

 

1.305

 

Jun-Dec

 

140,166.67

 

210,250.00

 

7/22/2010

 

6/1/2013

 

931142BT9

 

WAL-MART STORES INC CORP BND

 

 

 

 

 

 

 

1FE

 

2,291,772.00

 

106.208

 

2,230,360.00

 

2,100,000.00

 

2,216,229.36

 

14,130.64

 

(54,175.33

)

 

 

4.55

 

1.019

 

May-Nov

 

39,812.50

 

47,775.00

 

9/10/2010

 

5/1/2013

 

931142CL5

 

WAL-MART STORES INC CORP BND

 

 

 

 

 

 

 

1FE

 

8,537,028.01

 

105.655

 

8,452,395.60

 

8,000,000.00

 

8,333,997.17

 

118,398.43

 

(154,997.27

)

 

 

4.25

 

1.492

 

Apr-Oct

 

156,777.78

 

170,000.00

 

1/10/2011

 

4/15/2013

 

931142CR2

 

WAL-MART STORES INC CORP BND

 

 

 

 

 

 

 

1FE

 

3,024,810.00

 

106.079

 

3,182,355.18

 

3,000,000.00

 

3,018,357.84

 

163,997.34

 

(5,859.84

)

 

 

2.875

 

2.69

 

Apr-Oct

 

43,125.00

 

43,125.00

 

5/20/2010

 

4/1/2015

 

931142CX9

 

WAL-MART STORES INC CORP BND

 

 

 

 

 

 

 

1FE

 

3,655,118.25

 

100.988

 

3,711,327.19

 

3,675,000.00

 

3,658,714.43

 

52,612.76

 

3,851.56

 

 

 

1.5

 

1.613

 

Apr-Oct

 

23,887.50

 

27,563.00

 

10/18/2010

 

10/25/2015

 

931142DA8

 

WAL-MART STORES INC CORP BND

 

 

 

 

 

 

 

1FE

 

2,094,330.00

 

102.265

 

2,147,559.71

 

2,100,000.00

 

2,095,170.17

 

52,389.54

 

840.17

 

 

 

1.625

 

1.718

 

Apr-Oct

 

15,451.04

 

 

4/11/2011

 

4/15/2014

 

931422AD1

 

WALGREEN CO CORP BND

 

 

 

 

 

 

 

1FE

 

6,200,660.25

 

107.392

 

6,685,163.76

 

6,225,000.00

 

6,215,503.64

 

469,660.12

 

3,648.84

 

 

 

4.875

 

4.963

 

Feb-Aug

 

50,578.14

 

303,469.00

 

7/14/2008

 

8/1/2013

 

93316UAD9

 

WALTER ENERGY INC TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

2,431.00

 

00/00/0000

 

2/4/2018

 

93443NAW9

 

WARNER CHILCOTT CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

97.135

 

 

 

 

 

 

 

 

#N/A

 

0.515

 

#N/A

 

 

7,443.00

 

8/23/2011

 

3/14/2018

 

93443NAX7

 

WARNER CHILCOTT CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

97.135

 

 

 

 

 

 

 

 

#N/A

 

0.515

 

#N/A

 

 

3,721.00

 

8/23/2011

 

3/14/2018

 

93443NAY5

 

WARNER CHILCOTT CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

97.135

 

 

 

 

 

 

 

 

#N/A

 

0.515

 

#N/A

 

 

5,117.00

 

8/23/2011

 

3/14/2018

 

93934FEN8

 

WMALT_05-5 CMO 05-9-2A2

 

 

 

 

 

2

 

5FE

 

4,692,335.60

 

77.5

 

3,968,960.55

 

5,121,239.42

 

4,719,672.34

 

(750,711.79

)

40,567.71

 

 

 

5.5

 

7.829

 

Monthly

 

23,472.35

 

211,251.00

 

12/17/2007

 

11/25/2035

 

949744AA4

 

WELLS FARGO & COMPANY - GTD CORP BND

 

 

 

 

 

 

 

1FE

 

1,298,479.00

 

103.122

 

1,306,321.35

 

1,300,000.00

 

1,299,426.51

 

6,894.84

 

947.51

 

 

 

3

 

3.658

 

Jun-Dec

 

12,133.33

 

19,500.00

 

12/3/2008

 

12/9/2011

 

949746NY3

 

WELLS FARGO & COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

797,552.00

 

103.766

 

830,125.55

 

800,000.00

 

799,295.30

 

30,830.25

 

379.74

 

 

 

4.375

 

4.444

 

Jan-Jul

 

5,930.56

 

35,000.00

 

1/25/2008

 

1/31/2013

 

949746QU8

 

WELLS FARGO & COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

1,963,144.95

 

103.839

 

2,024,867.13

 

1,950,000.00

 

1,961,767.50

 

63,099.63

 

(2,484.59

)

 

 

3.676

 

3.536

 

Mar-Sep

 

3,185.87

 

84,065.00

 

2/10/2011

 

6/15/2016

 

94974BET3

 

WELLS FARGO & COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

8,471,360.00

 

105.451

 

8,436,049.20

 

8,000,000.00

 

8,446,608.55

 

(10,559.35

)

(24,751.45

)

 

 

3.75

 

1.829

 

Apr-Oct

 

150,000.00

 

 

7/26/2011

 

10/1/2014

 

94974BEU0

 

WELLS FARGO & COMPANY CORP BND

 

 

 

 

 

 

 

1FE

 

7,199,617.50

 

104.305

 

7,353,504.69

 

7,050,000.00

 

7,196,880.93

 

156,623.76

 

(3,489.93

)

 

 

3.625

 

2.992

 

Apr-Oct

 

117,842.71

 

73,406.00

 

8/19/2011

 

4/15/2015

 

94975CAL1

 

WELLS FARGO FINANCIAL INC CORP BND

 

 

 

 

 

 

 

1FE

 

804,015.00

 

103.729

 

777,969.58

 

750,000.00

 

766,687.52

 

11,282.06

 

(14,696.92

)

 

 

5.5

 

2.781

 

Feb-Aug

 

6,875.00

 

41,250.00

 

10/20/2009

 

8/1/2012

 

949781AA6

 

WFMBS CMO 05-AR1 1A1

 

 

 

 

 

2

 

NR*Z*

 

2,639,503.46

 

89.75

 

2,426,852.80

 

2,704,014.27

 

2,643,926.40

 

(217,073.60

)

5,550.51

 

 

 

2.73376

 

3.261

 

Monthly

 

6,160.11

 

55,505.00

 

12/5/2006

 

2/25/2035

 

949781AC2

 

WFMBS CMO 05-AR1 2A1

 

 

 

 

 

2

 

3FE

 

748,138.27

 

92.59

 

710,007.67

 

766,829.75

 

749,071.21

 

(39,063.54

)

2,429.11

 

 

 

2.72653

 

3.341

 

Monthly

 

1,742.32

 

15,729.00

 

5/27/2008

 

2/25/2035

 

949797AA2

 

WFMBS WHOLE CMO 07-15 A1

 

 

 

 

 

2

 

NR*Z*

 

306,048.52

 

94.25

 

286,636.86

 

304,123.99

 

305,892.82

 

(19,255.96

)

(341.86

)

 

 

6

 

5.766

 

Monthly

 

1,520.62

 

13,686.00

 

1/17/2008

 

11/25/2037

 

94980RAC1

 

WFMBS_04-Z CMO 04-Z-2A1

 

 

 

 

 

2

 

NR*Z*

 

214,685.63

 

90.593

 

196,206.94

 

216,580.69

 

214,801.81

 

(18,594.87

)

258.90

 

 

 

2.73917

 

2.98

 

Monthly

 

494.38

 

4,450.00

 

1/14/2008

 

12/25/2034

 

94981NAH8

 

WFMBS_05-AR4 CMO 05-AR4 2A2

 

 

 

 

 

2

 

NR*Z*

 

2,060,107.47

 

92.442

 

1,959,441.41

 

2,119,639.53

 

2,065,081.89

 

(105,640.48

)

8,298.50

 

 

 

2.740861

 

3.502

 

Monthly

 

4,841.36

 

43,985.00

 

7/19/2006

 

4/25/2035

 

94982BAG5

 

WFMBS CMO 05-AR8 3A2

 

 

 

 

 

2

 

NR*Z*

 

788,166.71

 

91.441

 

733,194.75

 

801,822.76

 

790,148.99

 

(56,954.24

)

3,072.00

 

 

 

2.73221

 

3.099

 

Monthly

 

1,825.62

 

16,878.00

 

12/15/2005

 

6/25/2035

 

95081HAJ3

 

WESCO AIRCRAFT LN1 TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

99.625

 

 

 

 

 

 

 

 

#N/A

 

0.041

 

#N/A

 

 

5,505.00

 

4/4/2011

 

4/7/2017

 

95806AAB9

 

WESTERN CORPORATE FEDERAL CRED CORP BND

 

 

 

 

 

 

 

1FE

 

6,457,149.50

 

101.47

 

6,544,815.58

 

6,450,000.00

 

6,452,972.79

 

91,842.79

 

(1,978.98

)

 

 

1.75

 

1.707

 

May-Nov

 

46,717.70

 

56,438.00

 

1/27/2010

 

11/2/2012

 

959802AN9

 

WESTERN UNION CORP BND

 

 

 

 

 

 

 

1FE

 

11,100,000.00

 

100.215

 

11,123,864.56

 

11,100,000.00

 

11,100,000.00

 

23,864.56

 

 

 

 

0.91278

 

0.89

 

M-J-S-D

 

6,754.57

 

48,833.00

 

3/2/2011

 

3/7/2013

 

961214BR3

 

WESTPAC BANKING CORP BND

 

 

 

F

 

 

 

1FE

 

9,195,216.00

 

100.525

 

9,248,332.38

 

9,200,000.00

 

9,196,484.68

 

51,847.70

 

1,170.25

 

 

 

1.85

 

1.868

 

Jun-Dec

 

52,951.11

 

85,100.00

 

12/2/2010

 

12/9/2013

 

9612E0CD7

 

WESTPAC BANKING CORP BND 144A

 

 

 

F

 

 

 

1FE

 

2,702,241.00

 

100.319

 

2,708,613.00

 

2,700,000.00

 

2,702,069.42

 

6,543.58

 

(171.58

)

 

 

1.09856

 

0.945

 

M-J-S-D

 

82.40

 

6,733.00

 

7/12/2011

 

3/31/2014

 

9612EAAB1

 

WESTPAC SECURITIES NZ LTD CORP BND GOVT

 

 

 

F

 

 

 

1FE

 

3,130,512.81

 

106.627

 

3,305,436.97

 

3,100,000.00

 

3,123,605.95

 

181,831.02

 

(5,903.59

)

 

 

3.45

 

3.166

 

Jan-Jul

 

18,716.25

 

106,950.00

 

11/12/2010

 

7/28/2014

 

9612EMAH2

 

WESTPAC BANKING CORP - GTD CORP BND GOVT

 

 

 

F

 

 

 

1FE

 

10,104,800.00

 

105.233

 

10,523,300.20

 

10,000,000.00

 

10,072,271.46

 

451,028.74

 

(17,435.00

)

 

 

2.9

 

2.643

 

Mar-Sep

 

16,916.67

 

290,000.00

 

4/28/2010

 

9/10/2014

 

981464BD1

 

WORLD FINANCIAL NETWORK CREDIT ABS_06-A

 

 

 

 

 

2

 

1FE

 

12,301,269.53

 

99.037

 

12,379,625.00

 

12,500,000.00

 

12,356,880.36

 

22,744.64

 

55,610.83

 

 

 

0.359

 

1.102

 

Monthly

 

1,994.44

 

25,501.00

 

2/16/2011

 

2/15/2017

 

98158KAD1

 

WORLD OMNI AUTO RECEIVABLES TR ABS 11-A

 

 

 

 

 

2

 

1FE

 

4,599,795.30

 

102.074

 

4,695,403.86

 

4,600,000.00

 

4,599,804.53

 

95,599.33

 

9.23

 

 

 

1.91

 

1.918

 

Monthly

 

3,904.89

 

45,150.00

 

3/2/2011

 

4/16/2016

 

983024AA8

 

WYETH CORP BND

 

 

 

 

 

 

 

1FE

 

1,104,250.00

 

106.932

 

1,069,320.91

 

1,000,000.00

 

1,051,022.08

 

18,298.83

 

(25,570.84

)

 

 

5.5

 

1.929

 

Mar-Sep

 

2,444.44

 

55,000.00

 

3/3/2010

 

3/15/2013

 

983024AE0

 

WYETH CORP BND

 

 

 

 

 

 

 

1FE

 

2,166,200.20

 

110.295

 

2,205,896.30

 

2,000,000.00

 

2,100,742.88

 

105,153.42

 

(64,478.64

)

 

 

5.5

 

3.241

 

Feb-Aug

 

18,333.33

 

110,000.00

 

2/19/2010

 

2/1/2014

 

BRS17HYX4

 

PENN NTL GAMING INC. TERM LOAN

 

 

 

 

 

 

 

3

 

 

95.688

 

 

 

 

 

2,500.00

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

10/3/2012

 

BRS2VEN71

 

TIME WARNER TELECOM HOLDINGS I TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

1/7/2013

 

BRS2Z8AR0

 

GENERAC POWER SYSTEMS INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,922,335.00

 

96.344

 

1,854,372.40

 

1,924,740.93

 

1,922,781.92

 

(68,409.52

)

540.99

 

 

 

0

 

0.048

 

F-M-A-N

 

 

14,037.00

 

3/8/2011

 

11/10/2013

 

BRS38FMB4

 

UNITED AIR LINES INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,898,562.70

 

94.833

 

2,824,139.10

 

2,978,013.03

 

2,911,728.42

 

(87,589.32

)

13,715.39

 

 

 

0

 

0.949

 

F-M-A-N

 

 

32,355.00

 

5/13/2011

 

2/3/2014

 

BRS3BP8V0

 

B&G FOODS INC LN1 TERM LOAN

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

1,338.57

 

 

 

#N/A

 

0

 

#N/A

 

 

3,892.00

 

00/00/0000

 

2/26/2013

 

BRS3BRB18

 

NATIONAL CINEMEDIA INC LN1 TERM LOAN

 

 

 

 

 

 

 

 

 

1,116,594.82

 

96

 

1,092,413.79

 

1,137,931.03

 

1,120,380.19

 

(27,966.40

)

10,574.16

 

 

 

0

 

0.455

 

F-M-A-N

 

 

14,721.00

 

12/16/2010

 

2/13/2015

 

BRS3D3LA8

 

CHARTER COMMUNICATIONS HOLDING LN1 TERM

 

 

 

 

 

2

 

4

 

136,237.69

 

90.063

 

134,236.36

 

136,237.69

 

136,237.69

 

(2,001.33

)

 

 

 

0

 

0

 

Monthly

 

 

908.00

 

3/8/2011

 

3/6/2014

 

BRS3NTN59

 

CEQUEL COMMUNICATIONS LLC TERM LOAN

 

 

 

 

 

2

 

3

 

3,944,169.36

 

91.175

 

3,808,992.35

 

3,968,857.95

 

3,949,907.68

 

(140,915.33

)

5,997.93

 

 

 

0

 

0.225

 

Monthly

 

 

40,207.00

 

5/26/2011

 

11/5/2013

 

BRS3SKK31

 

LOCAL TV ON SATELLITE LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,362,746.51

 

92.875

 

1,288,194.22

 

1,387,019.35

 

1,369,668.13

 

(81,473.91

)

11,078.18

 

 

 

0

 

0.777

 

F-M-A-N

 

 

22,112.00

 

2/1/2011

 

5/7/2013

 

BRS3T9YQ9

 

LAS VEGAS SANDS LLC LN1 TERM LOAN

 

 

 

 

 

2

 

3FE

 

 

70.219

 

 

 

 

 

1,325.42

 

 

 

#N/A

 

0

 

#N/A

 

 

9,817.00

 

00/00/0000

 

5/23/2014

 

BRS3V66X8

 

IPC SYSTEMS INC TERM LOAN

 

 

 

 

 

 

 

1

 

 

0

 

 

 

 

 

1,841.97

 

 

 

#N/A

 

0

 

#N/A

 

 

1,688.00

 

00/00/0000

 

6/2/2014

 

BRS3YPRC6

 

CLAIRES STORES INC. CLAIRES STORES TERM

 

 

 

 

 

 

 

4

 

1,805,000.00

 

84.042

 

1,680,840.00

 

2,000,000.00

 

1,819,069.68

 

(138,229.68

)

14,069.68

 

 

 

0

 

3.597

 

May-Nov

 

 

11,335.00

 

6/20/2011

 

5/29/2014

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

BRS42NQM3

 

POLYPORE INC LN1 TERM LOAN

 

 

 

 

 

 

 

 

 

1,964,004.00

 

96.5

 

1,909,585.77

 

1,978,845.36

 

1,966,882.78

 

(57,297.01

)

2,997.76

 

 

 

0

 

0.217

 

J-A-J-O

 

 

25,323.00

 

12/17/2010

 

7/3/2014

 

BRS47V6P5

 

BIOMET INC LN1 TERM LOAN

 

 

 

 

 

 

 

3

 

6,218,725.35

 

93.239

 

5,949,887.37

 

6,242,865.03

 

6,219,045.07

 

(269,157.70

)

424.93

 

 

 

0

 

0.105

 

Monthly

 

 

107,511.00

 

8/15/2011

 

3/25/2015

 

BRS4BYYF5

 

MILLENNIUM INORGANIC CHEMICALS TERM LOAN

 

 

 

 

 

 

 

4FE

 

1,767,757.55

 

96.2

 

1,704,844.88

 

1,772,188.02

 

1,768,500.34

 

(63,655.46

)

2,854.34

 

 

 

0

 

0.078

 

F-M-A-N

 

 

12,586.00

 

3/8/2011

 

5/15/2014

 

BRS4QJJM4

 

DOLLAR GENERAL CORPORATION LN1 TERM LOAN

 

 

 

 

 

 

 

3

 

2,000,000.00

 

94.875

 

1,980,200.00

 

2,000,000.00

 

2,000,000.00

 

(19,800.00

)

 

 

 

0

 

0

 

Monthly

 

 

9,337.00

 

6/21/2011

 

7/7/2014

 

BRS4QJKV2

 

FREESCALE SEMICONDUCTOR INC. TERM LOAN

 

 

 

 

 

 

 

 

 

4,894,780.36

 

91.333

 

4,537,003.48

 

4,967,540.19

 

4,897,939.34

 

(360,935.86

)

3,524.15

 

 

 

0

 

0.267

 

Monthly

 

 

51,273.00

 

8/5/2011

 

12/1/2016

 

BRS4QJTT8

 

SORENSON COMMUNICATIONS INC LN1 TERM

 

 

 

 

 

 

 

4

 

2,178,580.82

 

90.875

 

2,076,721.80

 

2,255,639.09

 

2,196,337.33

 

(119,615.53

)

25,698.24

 

 

 

0

 

1.405

 

Monthly

 

 

44,586.00

 

3/8/2011

 

8/16/2013

 

BRS4QJUM1

 

TEAM HLTH INC. LN1 TERM LOAN

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

4,796.22

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

11/23/2012

 

BRS4QJWV9

 

BERRY PLASTICS HLDG CORP LN1 TERM LOAN

 

 

 

 

 

2

 

 

 

876,455.61

 

90.778

 

905,409.81

 

997,389.03

 

876,455.61

 

28,954.20

 

 

 

 

0

 

3.681

 

J-A-J-O

 

 

 

8/12/2011

 

4/3/2015

 

BRS58NX61

 

BAUSCH & LOMB INCORPORATED LN1 TERM LOAN

 

 

 

 

 

 

 

3

 

2,394,150.14

 

91.411

 

2,305,728.34

 

2,397,106.02

 

2,394,655.80

 

(88,927.46

)

560.12

 

 

 

0

 

0.028

 

Monthly

 

 

10,799.00

 

5/26/2011

 

4/24/2015

 

BRS58NXF1

 

BAUSCH & LOMB INCORPORATED LN1 TERM LOAN

 

 

 

 

 

 

 

3

 

583,505.62

 

91.411

 

561,958.90

 

584,229.74

 

583,629.49

 

(21,670.59

)

130.68

 

 

 

0

 

0.028

 

Monthly

 

 

6,196.00

 

5/26/2011

 

4/24/2015

 

BRS5B8108

 

CATALINA MARKETING CORPORATION LN1 TERM

 

 

 

 

 

2

 

3

 

1,315,046.42

 

92

 

1,241,628.22

 

1,319,996.41

 

1,316,040.71

 

(74,412.49

)

1,024.32

 

 

 

0

 

0.099

 

J-A-J-O

 

 

23,270.00

 

12/20/2010

 

10/1/2014

 

BRS5BXBC6

 

AEROFLEX INCORPORATED LN1 TERM LOAN

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

5,000.00

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

8/15/2014

 

BRS5LGXZ7

 

TELESAT CANADA TERM LOAN

 

 

 

 

 

 

 

 

 

6,965,859.64

 

96.854

 

6,766,228.65

 

6,986,008.48

 

6,967,201.40

 

(200,972.75

)

1,239.17

 

 

 

0

 

0.086

 

Monthly

 

 

64,942.00

 

6/7/2011

 

10/31/2014

 

BRS5TSFC4

 

ROYALTY PHARMA FINANCE TRUST TERM LOAN

 

 

 

 

 

 

 

1Z

 

6,848,336.25

 

99.333

 

6,836,842.06

 

6,882,750.00

 

6,850,399.93

 

(13,557.87

)

2,149.93

 

 

 

0

 

0.301

 

M-J-S-D

 

 

 

8/1/2011

 

4/16/2013

 

BRS6WDST0

 

NETWORK RAIL INFRASTRUCTURE FI CORP BND

 

 

 

D

 

 

 

1FE

 

6,545,424.63

 

105.161

 

5,227,844.85

 

3,300,000.00

 

6,577,225.96

 

(1,349,381.11

)

7,629.42

 

 

(1,439,972.47

)

4.875

 

4.978

 

March

 

142,423.78

 

261,663.00

 

4/22/2008

 

3/7/2012

 

BRS7R1MF6

 

TPF GENERATION HOLDINGS LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

553,701.89

 

94.822

 

525,685.54

 

554,394.88

 

553,824.30

 

(28,138.76

)

122.41

 

 

 

0

 

0.047

 

J-A-J-O

 

 

2,294.00

 

3/8/2011

 

12/15/2013

 

BRS8FY3M1

 

TELESAT CANADA TERM LOAN

 

 

 

 

 

 

 

 

 

598,362.45

 

96.854

 

581,214.21

 

600,093.14

 

598,477.69

 

(17,263.48

)

106.47

 

 

 

0

 

0.086

 

Monthly

 

 

5,579.00

 

6/7/2011

 

10/31/2014

 

BRS8PB696

 

TPF GENERATION HOLDINGS LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

947,690.25

 

94.822

 

899,738.77

 

948,876.33

 

947,899.52

 

(48,160.75

)

517.94

 

 

 

0

 

0.046

 

M-J-S-D

 

 

5,281.00

 

3/8/2011

 

12/15/2013

 

BRS8R3U20

 

HUNTSMAN INTL LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

5,947,500.00

 

93.281

 

5,596,860.00

 

6,000,000.00

 

5,951,603.43

 

(354,743.43

)

4,103.43

 

 

 

0

 

0.168

 

F-M-A-N

 

 

62,622.00

 

5/13/2011

 

6/30/2016

 

BRS8WUHY9

 

SILVMA ABS_09-1 A3

 

 

 

D

 

1

 

NR*F*

 

833,161.50

 

105.675

 

839,564.94

 

510,000.00

 

833,161.50

 

6,403.44

 

 

 

(38,683.50

)

5.063

 

5.06

 

Apr-Oct

 

17,914.15

 

21,594.00

 

10/27/2009

 

1/21/2055

 

BRS92C2N0

 

KREDITANSTALT FUER WIEDERAUFBA CORP BND

 

 

 

F

 

 

 

1FE

 

1,998,240.00

 

100.039

 

2,000,785.42

 

2,000,000.00

 

1,999,836.28

 

949.14

 

2,117.62

 

 

 

0.875

 

0.93

 

November

 

14,972.22

 

 

5/3/2010

 

11/23/2011

 

BRS96AL33

 

BANK NEDERLANDSE GEMEENTEN CORP BND EMTN

 

 

 

D

 

 

 

1FE

 

3,403,270.07

 

102.925

 

3,607,577.62

 

2,250,000.00

 

3,396,269.39

 

211,308.23

 

(3,826.57

)

 

120,787.35

 

2.625

 

2.447

 

December

 

74,362.28

 

 

4/27/2010

 

12/10/2013

 

BRS9GBGH5

 

BORDENINC. TERM LOAN

 

 

 

 

 

 

 

3Z

 

1,175,578.28

 

93.667

 

1,103,190.99

 

1,177,779.78

 

1,175,861.65

 

(72,670.66

)

302.78

 

 

 

0

 

0.045

 

F-M-A-N

 

 

11,591.00

 

5/13/2011

 

5/5/2015

 

BRS9GBTB4

 

HEXION SPECIALTY CHEMICALS TL TERM LOAN

 

 

 

 

 

 

 

3Z

 

2,780,571.56

 

93.667

 

2,609,355.57

 

2,785,778.95

 

2,781,241.86

 

(171,886.29

)

724.11

 

 

 

0

 

0.045

 

F-M-A-N

 

 

27,540.00

 

5/13/2011

 

5/5/2015

 

BRS9LY573

 

CINEMARK USA INC. TERM LOAN

 

 

 

 

 

 

 

 

 

952,576.14

 

97.75

 

975,019.04

 

997,461.93

 

953,017.88

 

22,001.16

 

555.95

 

 

 

0

 

0.982

 

J-A-J-O

 

 

 

8/26/2011

 

4/30/2016

 

BRS9ND148

 

EUROPEAN INVESTMENT BANK CORP BND

 

 

 

D

 

 

 

1FE

 

4,153,705.78

 

0

 

4,411,489.44

 

2,700,000.00

 

4,136,149.73

 

275,339.71

 

(11,055.86

)

 

137,867.08

 

3

 

2.571

 

December

 

103,019.67

 

 

7/12/2010

 

12/7/2015

 

BRS9SHAY8

 

HCA INC LN1 TERM LOAN

 

 

 

 

 

 

 

??

 

1,995,000.00

 

93.925

 

1,878,500.00

 

2,000,000.00

 

1,995,593.91

 

(117,093.91

)

593.91

 

 

 

0

 

0.04

 

F-M-A-N

 

 

85,645.00

 

12/16/2010

 

3/31/2017

 

BRS9U2FN7

 

CABLEVISION SYSTEMS CORPORATIO TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,391,468.35

 

96.75

 

1,447,575.95

 

1,496,202.53

 

1,393,699.35

 

53,876.60

 

2,496.82

 

 

 

0

 

1.563

 

F-M-A-N

 

 

2,618.00

 

8/11/2011

 

3/29/2016

 

BRS9WB7G9

 

ARKEL_10-1 ABS_10-1 5A

 

 

 

D

 

2

 

1FE

 

918,390.00

 

104.19

 

973,843.28

 

600,000.00

 

918,390.00

 

55,453.28

 

 

 

16,290.00

 

4.681

 

4.677

 

Feb-Aug

 

5,350.16

 

45,945.00

 

4/30/2010

 

2/17/2017

 

BRS9YCJN7

 

BUFFETS INC TERM LOAN

 

 

 

 

 

 

 

4FE

 

1,899,729.95

 

56.2

 

1,120,037.46

 

1,992,949.22

 

1,913,455.52

 

(793,418.06

)

15,506.30

 

 

 

0

 

1.13

 

J-A-J-O

 

 

79,501.00

 

9/30/2011

 

4/22/2015

 

BRS9YEPB2

 

UPC FINANCING PARTNERSHIP TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,992,500.00

 

95.25

 

1,905,000.00

 

2,000,000.00

 

1,992,864.82

 

(87,864.82

)

364.82

 

 

 

0

 

0.056

 

J-A-J-O

 

 

17,826.00

 

5/27/2011

 

12/31/2017

 

BRSA43XR2

 

CABLEVISION SYSTEMS CORPORATIO TERM LOAN

 

 

 

 

 

 

 

1Z

 

6,960,406.03

 

97.563

 

6,783,447.38

 

6,952,924.92

 

6,959,702.59

 

(176,255.21

)

(703.44

)

 

 

0

 

-0.021

 

F-M-A-N

 

 

54,254.00

 

6/3/2011

 

3/29/2016

 

BRSA440T2

 

NUANCE COMMUNICATIONS INC LN1 TERM LOAN

 

 

 

 

 

 

 

??

 

976,158.14

 

97.675

 

966,755.34

 

989,767.43

 

980,152.93

 

(13,397.59

)

4,099.96

 

 

 

0

 

0.645

 

M-J-S-D

 

 

13,574.00

 

12/15/2010

 

3/29/2013

 

BRSABN708

 

DEAN FOODS COMPANY TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,927,851.14

 

94.611

 

2,814,594.09

 

2,974,912.10

 

2,933,132.43

 

(118,538.34

)

5,632.61

 

 

 

0

 

0.309

 

M-J-S-D

 

 

37,563.00

 

5/16/2011

 

4/2/2016

 

BRSAD09Q7

 

DEAN FOODS TERM LOAN

 

 

 

 

 

 

 

1

 

1,915,865.36

 

96.583

 

1,857,365.37

 

1,923,076.91

 

1,917,147.47

 

(59,782.10

)

1,570.56

 

 

 

0

 

0.122

 

J-A-J-O

 

 

24,451.00

 

2/1/2011

 

4/2/2014

 

BRSAG8QE5

 

VNU GROUP B.V. CORP BND

 

 

 

 

 

 

 

1Z

 

1,984,949.62

 

95.875

 

1,907,840.06

 

1,989,924.44

 

1,985,235.01

 

(77,394.95

)

310.57

 

 

 

0

 

0.051

 

J-A-J-O

 

 

15,235.00

 

6/9/2011

 

5/1/2016

 

BRSAHW6G8

 

LAS VEGAS SANDS LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

943,762.14

 

92.903

 

890,345.64

 

958,360.47

 

944,799.19

 

(54,453.55

)

1,058.03

 

 

 

0

 

0.272

 

F-M-A-N

 

 

13,605.00

 

5/16/2011

 

11/23/2016

 

BRSAHW876

 

LAS VEGAS SANDS LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

4,920,187.44

 

92.903

 

4,644,152.05

 

4,998,925.81

 

4,925,987.79

 

(281,835.74

)

5,911.27

 

 

 

0

 

0.283

 

F-M-A-N

 

 

26,265.00

 

5/16/2011

 

11/6/2016

 

BRSAZLZQ8

 

GREEN MOUNTAIN COFFEE ROASTERS TERM

 

 

 

 

 

 

 

1

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

11/9/2016

 

BRSB2TL72

 

CHG HEALTHCARE SERVICES TL-B TERM LOAN

 

 

 

 

 

 

 

1Z

 

998,750.00

 

98

 

980,000.00

 

1,000,000.00

 

998,827.52

 

(18,827.52

)

77.52

 

 

 

0

 

0.023

 

J-A-J-O

 

 

12,528.00

 

5/23/2011

 

10/1/2016

 

BRSB5UM91

 

TW TELECOM INC TERM LOAN

 

 

 

 

 

 

 

4FE

 

989,610.40

 

96.958

 

959,506.45

 

989,610.40

 

989,610.40

 

(30,103.95

)

 

 

 

0

 

0

 

F-M-A-N

 

 

20,764.00

 

1/18/2011

 

12/29/2016

 

BRSB9FFC1

 

BIG WEST OIL LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

754,105.24

 

99.25

 

752,210.51

 

757,894.72

 

754,650.78

 

(2,440.27

)

2,743.59

 

 

 

0

 

0.094

 

M-J-S-D

 

 

30,833.00

 

12/17/2010

 

3/31/2016

 

BRSB9YU33

 

AMC ENTERTAINMENT INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

574,078.69

 

94.9

 

581,120.73

 

612,350.61

 

574,078.69

 

7,042.04

 

 

 

 

0

 

1.249

 

J-A-J-O

 

 

 

9/6/2011

 

12/15/2016

 

BRSBAXKS9

 

REMY INTERNATIONAL INC TERM LOAN

 

 

 

 

 

1

 

1Z

 

1,145,832.89

 

96.125

 

1,130,370.35

 

1,175,937.94

 

1,146,050.68

 

(15,680.33

)

306.65

 

 

 

0

 

0.487

 

M-J-S-D

 

 

 

9/29/2011

 

12/16/2016

 

BRSBBCR99

 

SHELL: CCC INFORMATION SYSTEMS TERM LOAN

 

 

 

 

 

 

 

1Z

 

265,963.50

 

98.2

 

263,814.30

 

268,650.00

 

266,372.38

 

(2,558.08

)

422.38

 

 

 

0

 

0.204

 

Monthly

 

 

3,571.00

 

12/14/2010

 

11/11/2015

 

BRSBBCS15

 

CENVEO CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

491,287.50

 

97.459

 

483,637.81

 

496,250.00

 

491,913.86

 

(8,276.05

)

654.75

 

 

 

0

 

0.166

 

M-J-S-D

 

 

15,077.00

 

12/14/2010

 

12/21/2016

 

BRSBBCSA5

 

DARLING INTL INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

71,640.00

 

99.5

 

71,640.00

 

72,000.00

 

71,684.57

 

(44.57

)

1,484.57

 

 

 

0

 

0.083

 

M-J-S-D

 

 

3,468.00

 

12/15/2010

 

12/17/2016

 

BRSBBCT22

 

INTELSAT JACKSON HLDGS SA TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

12/23/2015

 

BRSBBCU87

 

REMY INTERNATIONAL INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

309.84

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

12/28/2016

 

BRSBBCUC8

 

SWIFT TRANSP CO TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

12/21/2016

 

BRSBBCUF1

 

SYNIVERSE HLDGS TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

1/17/2018

 

BRSBBCVB9

 

TRANSTAR HOLDING COMPANY TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

 

00/00/0000

 

12/21/2016

 

BRSBDPXK6

 

JPMORGAN CHASE & CO CORP BND EMTN

 

 

 

O

 

 

 

1FE

 

1,195,342.58

 

100.79

 

1,177,574.95

 

750,000.00

 

1,195,713.70

 

(18,138.75

)

371.12

 

 

(30,553.84

)

4.25

 

4.308

 

Jan-Jul

 

9,175.36

 

25,951.00

 

1/18/2011

 

1/25/2017

 

BRSBHYHD7

 

SAVERS INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

308,450.00

 

98.167

 

302,796.11

 

308,450.00

 

308,450.00

 

(5,653.89

)

 

 

 

0

 

0

 

F-M-A-N

 

 

4,188.00

 

3/3/2011

 

3/4/2017

 

BRSBK6YZ6

 

DUNKIN BRANDS INC TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

0

 

 

 

 

 

(377.25

)

 

 

#N/A

 

0

 

#N/A

 

 

1,272.00

 

00/00/0000

 

11/23/2017

 

BRSBK9U01

 

MOMENTIVE PERFORMANCE MATERIAL TERM LOAN

 

 

 

 

 

 

 

1Z

 

5,938,149.79

 

92.4

 

5,505,474.86

 

5,958,306.13

 

5,940,028.36

 

(434,553.50

)

1,722.23

 

 

 

0

 

0.084

 

M-J-S-D

 

 

95,597.00

 

5/13/2011

 

5/4/2015

 

BRSBL1YL7

 

BURGER KING CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

6,463,712.40

 

96.338

 

6,222,194.35

 

6,458,712.40

 

6,463,231.79

 

(241,037.44

)

(480.61

)

 

 

0

 

-0.014

 

F-M-A-N

 

 

9,882.00

 

5/16/2011

 

10/19/2016

 

BRSBLSR28

 

TOYOTA MOTOR CREDIT CORP SENIOR CORP BND

 

 

 

O

 

 

 

1

 

1,294,592.35

 

104.078

 

1,297,065.28

 

800,000.00

 

1,294,637.99

 

2,427.29

 

45.64

 

 

(50,360.57

)

4

 

3.99

 

December

 

29,773.19

 

 

2/18/2011

 

12/7/2017

 

BRSBLUG58

 

EDWARDS LTD LN1 TERM LOAN

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

129.48

 

 

 

#N/A

 

0

 

#N/A

 

 

2,414.00

 

00/00/0000

 

5/31/2016

 

BRSBN8RA2

 

BWAY HOLDING

 

 

 

 

 

 

 

1Z

 

2,937,200.96

 

95.35

 

2,833,865.46

 

2,972,066.56

 

2,936,306.66

 

(102,441.20

)

(894.30

)

 

 

0

 

0.183

 

Feb-Aug

 

 

35,479.00

 

8/26/2011

 

2/9/2018

 

BRSBNH1C6

 

DINEEQUITY INC

 

 

 

 

 

 

 

1Z

 

2,253,133.42

 

96.614

 

2,159,934.87

 

2,235,633.42

 

2,251,726.61

 

(91,791.74

)

(1,406.81

)

 

 

0

 

-0.12

 

Apr-Oct

 

 

50,866.00

 

2/23/2011

 

10/1/2017

 

BRSBQ9RY5

 

CCM MERGER TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

2,707.00

 

00/00/0000

 

3/1/2017

 

BRSBR3DP1

 

BWAY HOLDING TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

(88.47

)

 

 

#N/A

 

0

 

#N/A

 

 

683.00

 

00/00/0000

 

2/9/2018

 

BRSBRMC88

 

BWAY CORPORATION TERM LOAN

 

 

 

 

 

 

 

3

 

254,576.05

 

95.35

 

245,334.51

 

257,298.91

 

254,575.91

 

(9,241.40

)

(0.14

)

 

 

0

 

0.158

 

M-J-S-D

 

 

 

9/1/2011

 

2/1/2018

 

BRSBS9GD1

 

NTELOS INC TERM LOAN

 

 

 

 

 

 

 

3

 

2,930,034.82

 

96.875

 

2,898,864.23

 

2,992,375.98

 

2,930,034.82

 

(31,170.59

)

 

 

 

0

 

0.555

 

F-M-A-N

 

 

 

9/12/2011

 

8/7/2015

 

BRSBT4DY8

 

SERENA SOFTWARE TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,983,750.00

 

91.25

 

2,737,500.00

 

3,000,000.00

 

2,984,847.41

 

(247,347.41

)

1,097.41

 

 

 

0

 

0.112

 

M-J-S-D

 

 

34,399.00

 

6/2/2011

 

3/10/2016

 

BRSBTKQC6

 

ISLE OF CAPRI CASINOS INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

#N/A

 

 

6,432.00

 

00/00/0000

 

3/1/2017

 

BRSBUTEL8

 

ROCK-TENN CO TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,097,250.00

 

99.111

 

1,087,495.45

 

1,097,250.00

 

1,097,250.00

 

(9,754.55

)

 

 

 

0

 

0

 

Mar-Sep

 

 

6,081.00

 

3/28/2011

 

1/24/2017

 

BRSBUXKB4

 

WESTERN REFINING INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

861,918.75

 

99.071

 

862,536.89

 

870,625.00

 

862,629.62

 

(92.73

)

754.62

 

 

 

0

 

0.167

 

M-J-S-D

 

 

27,534.00

 

3/25/2011

 

3/15/2017

 

BRSBUXKY4

 

KINDRED HEALTHCARE INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

3,525,713.75

 

92.464

 

3,274,265.82

 

3,541,125.00

 

3,526,417.09

 

(252,151.27

)

792.09

 

 

 

0

 

0.063

 

M-J-S-D

 

 

7,192.00

 

5/19/2011

 

3/30/2018

 

BRSBXUEK4

 

HUBBARD RADIO TERM LOAN

 

 

 

 

 

1

 

1Z

 

1,575,282.87

 

96

 

1,563,288.00

 

1,628,425.00

 

1,575,499.57

 

(12,211.57

)

224.57

 

 

 

0

 

0.601

 

J-A-J-O

 

 

10,906.00

 

9/30/2011

 

4/12/2017

 

BRSBXV0N1

 

REYNOLDS GROUP HOLDINGS INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

1,836,148.12

 

98.175

 

1,811,696.91

 

1,845,375.00

 

1,836,710.82

 

(25,013.91

)

585.82

 

 

 

0

 

0.071

 

J-A-J-O

 

 

31,698.00

 

4/8/2011

 

4/21/2018

 

BRSBZBVS8

 

RANPAK CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,945,051.19

 

95

 

2,787,988.57

 

2,934,724.81

 

2,944,473.87

 

(156,485.30

)

749.06

 

 

 

0

 

-0.059

 

J-A-J-O

 

 

16,457.00

 

5/19/2011

 

4/17/2017

 

BRSC0XRZ5

 

NORTEK INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,190,517.53

 

93

 

2,040,408.35

 

2,193,987.47

 

2,190,670.87

 

(150,262.52

)

183.40

 

 

 

0

 

0.027

 

J-A-J-O

 

 

14,335.00

 

7/8/2011

 

4/26/2017

 

BRSC4H8Q7

 

EAGLE PARENT INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

3,160,080.00

 

93.167

 

2,973,890.64

 

3,192,000.00

 

3,161,749.46

 

(187,858.82

)

1,749.46

 

 

 

0

 

0.141

 

F-M-A-N

 

 

55,380.00

 

5/11/2011

 

5/31/2018

 

BRSC51AB1

 

STAR WEST GENERATION LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

3,035,923.08

 

94.167

 

2,868,471.70

 

3,046,153.85

 

3,036,421.17

 

(167,949.47

)

3,267.32

 

 

 

0

 

0.048

 

F-M-A-N

 

 

46,949.00

 

5/18/2011

 

5/17/2018

 

BRSC529Z8

 

DUNKIN BRANDS INC TERM LOAN

 

 

 

 

 

1

 

1Z

 

4,333,880.25

 

96.635

 

4,173,950.72

 

4,319,295.00

 

4,333,125.92

 

(159,175.20

)

(754.33

)

 

 

0

 

-0.051

 

F-M-A-N

 

 

61,484.00

 

6/1/2011

 

11/23/2017

 

BRSC71P72

 

XERIUM TECHNOLOGIES INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

714,482.01

 

96.5

 

692,939.84

 

718,072.37

 

714,675.67

 

(21,735.83

)

353.30

 

 

 

0

 

0.083

 

M-J-S-D

 

 

 

5/25/2011

 

5/9/2017

 

BRSC8PGF0

 

ENDO PHARMACEUTICALS HLDGS INC TERM LOAN

 

 

 

 

 

1

 

1Z

 

2,413,928.60

 

99.464

 

2,400,989.94

 

2,413,928.60

 

2,413,928.60

 

(12,938.66

)

 

 

 

0

 

0

 

M-J-S-D

 

 

15,556.00

 

6/7/2011

 

6/7/2018

 

BRSC9TBB5

 

NRG ENERGY INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

4,778,030.62

 

97.583

 

4,769,613.08

 

4,887,750.00

 

4,779,559.05

 

(9,945.97

)

1,559.05

 

 

 

0

 

0.333

 

M-J-S-D

 

 

5,742.00

 

8/23/2011

 

5/5/2018

 

BRSCAHX41

 

CALPINE CORPORATION TERM LOAN

 

 

 

 

 

 

 

1Z

 

4,059,076.87

 

93.931

 

3,841,543.07

 

4,089,750.00

 

4,060,084.84

 

(218,541.77

)

1,084.84

 

 

 

0

 

0.11

 

M-J-S-D

 

 

 

6/10/2011

 

4/1/2018

 

BRSCAXFG9

 

US SILICA CO TERM LOAN

 

 

 

 

 

 

 

1Z

 

493,771.85

 

99

 

490,059.28

 

495,009.37

 

493,828.09

 

(3,768.81

)

59.34

 

 

 

0

 

0.041

 

M-J-S-D

 

 

488.00

 

6/8/2011

 

6/8/2017

 

BRSCB27N0

 

WARNACO GROUP INC. THE TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,133,901.87

 

97.5

 

2,091,009.38

 

2,144,625.00

 

2,134,296.99

 

(43,287.61

)

421.99

 

 

 

0

 

0.071

 

M-J-S-D

 

 

5,968.00

 

6/16/2011

 

6/17/2018

 

BRSCC0RV3

 

DUCOMMUN INC TERM LOAN

 

 

 

 

 

 

 

1Z

 

434,511.00

 

96.75

 

424,635.75

 

438,900.00

 

434,686.96

 

(10,051.21

)

186.96

 

 

 

0

 

0.172

 

M-J-S-D

 

 

1,341.00

 

6/17/2011

 

4/15/2017

 

BRSCC2H73

 

TRIMAS CORP TERM LOAN

 

 

 

 

 

 

 

1Z

 

913,111.50

 

95.667

 

877,936.06

 

917,700.00

 

913,316.10

 

(35,380.04

)

216.10

 

 

 

0

 

0.081

 

M-J-S-D

 

 

6,536.00

 

6/17/2011

 

7/15/2017

 

BRSCD57K7

 

HUSKY INTERNATIONAL LTD TERM LOAN

 

 

 

F

 

 

 

1F

 

4,937,625.00

 

97.031

 

4,839,421.13

 

4,987,500.00

 

4,939,207.79

 

(99,786.66

)

1,707.79

 

 

 

0

 

0.142

 

M-J-S-D

 

 

15,309.00

 

6/24/2011

 

6/24/2018

 

BRSCDKB78

 

SBA SENIOR FINANCE II LLC TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,686,516.87

 

97.625

 

2,629,285.31

 

2,693,250.00

 

2,686,730.91

 

(57,445.60

)

230.91

 

 

 

0

 

0.035

 

Jun-Dec

 

 

 

6/27/2011

 

6/30/2018

 

BRSCDUPD8

 

TEAM HLTH INC. TERM LOAN

 

 

 

 

 

 

 

1Z

 

3,870,798.76

 

95.5

 

3,715,188.76

 

3,890,250.01

 

3,871,401.81

 

(156,213.05

)

651.80

 

 

 

0

 

0.071

 

M-J-S-D

 

 

 

6/28/2011

 

6/29/2018

 

BRSCEALQ6

 

MERCURY PAYMENT SYSTEMS TERM LOAN

 

 

 

 

 

 

 

1Z

 

3,258,832.50

 

99

 

3,258,832.50

 

3,291,750.00

 

3,260,134.98

 

(1,302.48

)

1,384.98

 

 

 

0

 

0.169

 

J-A-J-O

 

 

 

6/29/2011

 

6/15/2017

 

BRSCESKE5

 

TEREX CORPORATION TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

0

 

 

 

 

 

6.70

 

 

 

#N/A

 

0

 

 

 

 

222.00

 

00/00/0000

 

7/6/2017

 

BRSCFRW37

 

PRO MACH INC TL B TERM LOAN

 

 

 

 

 

 

 

1Z

 

859,146.75

 

96.25

 

835,281.56

 

867,825.00

 

859,443.88

 

(24,162.32

)

318.88

 

 

 

0

 

0.166

 

J-A-J-O

 

 

 

7/6/2011

 

7/6/2017

 

BRSCG0YH2

 

NORIT HOLDING BVTERM TL TERM LOAN

 

 

 

 

 

 

 

 

 

1,305,125.00

 

97.75

 

1,295,187.50

 

1,325,000.00

 

1,305,802.59

 

(10,615.09

)

677.59

 

 

 

0

 

0.249

 

M-J-S-D

 

 

20,147.00

 

7/6/2011

 

7/10/2017

 

BRSCHUN87

 

SUNCOKE ENERGY INC TERM LOAN

 

 

 

 

 

1

 

1Z

 

1,419,292.87

 

98.5

 

1,405,028.63

 

1,426,425.00

 

1,419,455.02

 

(14,426.39

)

180.02

 

 

 

0

 

0.071

 

M-J-S-D

 

 

4,913.00

 

7/21/2011

 

7/21/2018

 

BRSCPUN39

 

SNL FINANCIAL LC TERM LOAN

 

 

 

 

 

 

 

1Z

 

2,910,000.00

 

98.25

 

2,947,500.00

 

3,000,000.00

 

2,911,393.45

 

36,106.55

 

1,393.45

 

 

 

0

 

0.431

 

M-J-S-D

 

 

21,958.00

 

8/11/2011

 

8/10/2018

 

BRSCQ2G46

 

IMMUCOR INC. TERM LOAN

 

 

 

 

 

1

 

1Z

 

2,880,000.00

 

98.375

 

2,951,250.00

 

3,000,000.00

 

2,881,413.45

 

69,836.55

 

1,413.45

 

 

 

0

 

0.59

 

M-J-S-D

 

 

 

8/17/2011

 

7/2/2018

 

BRSCTV4V2

 

LENDER PROCESS TERM LOANS

 

 

 

 

 

 

 

1Z

 

1,473,806.25

 

97

 

1,451,362.50

 

1,496,250.00

 

1,474,069.51

 

(22,707.01

)

319.51

 

 

 

0

 

0.214

 

F-M-A-N

 

 

 

8/12/2011

 

8/14/2018

 

D4085CCP2

 

KREDITANSTALT FUER WIEDERAUFBA CORP BND

 

 

 

D

 

 

 

1FE

 

3,688,345.49

 

103.747

 

3,555,584.25

 

2,200,000.00

 

3,669,083.76

 

(113,499.51

)

(7,931.08

)

 

(221,842.32

)

3

 

2.668

 

September

 

6,180.12

 

104,907.00

 

11/11/2009

 

9/9/2013

 

D4901WZJ9

 

LANDWIRTSCHAFTLICHE RENTENBANK CORP BND

 

 

 

F

 

 

 

1FE

 

16,986,810.74

 

104.821

 

17,085,822.84

 

16,300,000.00

 

16,666,341.22

 

419,481.62

 

(207,749.91

)

 

 

4.375

 

2.562

 

January

 

507,111.11

 

713,125.00

 

7/31/2010

 

1/15/2013

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

F1270CBD9

 

CAISSE D’AMORT DETTE SOCIALE CORP BND

 

 

 

D

 

 

 

1FE

 

2,159,930.71

 

101.079

 

2,204,454.53

 

1,400,000.00

 

2,161,214.43

 

43,240.10

 

1,026.91

 

 

14,455.11

 

2.25

 

2.296

 

December

 

51,087.30

 

 

9/9/2010

 

12/7/2015

 

F43568SJ8

 

DEXIA MUNICIPAL AGENCY CORP BND EMTN

 

 

 

F

 

 

 

1FE

 

6,205,625.04

 

101.185

 

6,071,125.08

 

6,000,000.00

 

6,089,208.07

 

(18,082.99

)

(282,465.26

)

 

 

5.125

 

2.803

 

May

 

103,354.17

 

307,500.00

 

11/12/2010

 

5/31/2012

 

F61115FA8

 

COUNCIL OF EUROPE DEVELOPMENT CORP BND

 

 

 

F

 

 

 

1FE

 

12,822,000.00

 

105.564

 

12,667,679.40

 

12,000,000.00

 

12,689,381.23

 

(21,701.83

)

(132,618.77

)

 

 

4.25

 

0.534

 

April

 

225,250.00

 

 

6/8/2011

 

4/22/2013

 

G1279MKC9

 

BP CAPITAL MARKET PLC CORP BND MTN

 

 

 

D

 

 

 

1FE

 

688,967.43

 

102.07

 

675,769.28

 

425,000.00

 

688,967.43

 

(13,198.15

)

 

 

(27,657.18

)

4.325

 

4.299

 

December

 

16,082.29

 

 

3/7/2011

 

12/10/2018

 

G29330DW7

 

EDF ENRGYNET LPN LOCAL BND

 

 

 

D

 

 

 

1FE

 

911,019.43

 

108.982

 

933,744.23

 

550,000.00

 

911,597.27

 

22,146.96

 

237.07

 

 

(56,587.20

)

5.375

 

5.351

 

November

 

40,879.44

 

 

11/6/2009

 

11/11/2016

 

G3157R8G6

 

EBRD CORP BND

 

 

 

D

 

 

 

1FE

 

2,361,052.11

 

101.629

 

2,295,605.97

 

1,450,000.00

 

2,361,686.02

 

(66,080.05

)

633.91

 

 

(106,200.94

)

1.875

 

1.933

 

December

 

19,727.40

 

 

4/7/2011

 

12/10/2013

 

G4364MKY1

 

HBOS TREASURY SERVICES PLC (LO CORP BND

 

 

 

F

 

 

 

1FE

 

5,059,594.40

 

96.51

 

5,101,804.70

 

5,000,000.00

 

5,027,431.31

 

74,373.39

 

(27,353.74

)

 

 

5.5

 

4.632

 

June

 

80,972.22

 

275,000.00

 

11/12/2010

 

6/15/2012

 

G4637EBQ7

 

HSBC BANK PLC LOCAL BND MTN

 

 

 

D

 

1

 

1FE

 

1,359,673.17

 

0

 

1,092,327.96

 

700,000.00

 

1,363,758.54

 

(271,430.58

)

1,158.99

 

 

(278,990.71

)

5.75

 

5.776

 

June

 

16,446.29

 

64,269.00

 

1/14/2008

 

6/27/2017

 

G47188AX8

 

LLOYDS TSB BANK PLC - GTD CORP BND GOVT

 

 

 

D

 

 

 

1FE

 

2,216,050.77

 

100.34

 

2,032,028.56

 

1,300,000.00

 

2,145,060.15

 

(113,031.59

)

(24,135.20

)

 

(115,989.68

)

4

 

2.441

 

November

 

70,574.74

 

 

6/30/2009

 

11/17/2011

 

G4718BAV5

 

LLOYDS TSB BANK PLC - GTD CORP BND GOVT

 

 

 

D

 

 

 

1FE

 

1,867,254.05

 

100.809

 

1,884,483.09

 

1,200,000.00

 

1,835,991.93

 

48,491.16

 

(14,858.00

)

 

42,691.88

 

2.75

 

1.634

 

March

 

27,951.01

 

53,011.00

 

2/26/2010

 

3/16/2012

 

G63983GA5

 

NATIONWIDE BUILDING SOCIETY -G LOCAL BND

 

 

 

D

 

 

 

1FE

 

2,421,014.08

 

0

 

2,423,433.85

 

1,550,000.00

 

2,349,925.66

 

73,508.19

 

(42,572.74

)

 

72,864.10

 

3.75

 

1.284

 

November

 

77,895.34

 

 

6/28/2010

 

11/21/2011

 

G6459BCU3

 

NETWORK RAIL INFRASTRUCTURE FI CORP BND

 

 

 

F

 

 

 

1FE

 

7,227,959.79

 

104.936

 

7,345,519.23

 

7,000,000.00

 

7,119,644.13

 

225,875.10

 

(50,762.55

)

 

 

3.5

 

2.451

 

June

 

70,777.77

 

245,000.00

 

2/19/2010

 

6/17/2013

 

G7014VBF9

 

PERMM 2010-1 ABS_10-1 3A

 

 

 

D

 

2

 

1FE

 

2,003,000.00

 

104.69

 

2,038,574.28

 

1,250,000.00

 

2,003,000.00

 

35,574.28

 

 

 

(55,750.00

)

4.805

 

4.798

 

Jan-Jul

 

19,831.79

 

96,099.00

 

1/29/2010

 

1/17/2017

 

G768FHAB7

 

ROYAL BANK OF SCOTLAND PLC - G LOCAL BND

 

 

 

D

 

 

 

1FE

 

2,217,335.31

 

100.355

 

2,032,328.30

 

1,300,000.00

 

2,144,877.98

 

(112,549.68

)

(24,650.56

)

 

(115,979.83

)

4.125

 

2.53

 

November

 

73,235.14

 

 

6/30/2009

 

11/14/2011

 

G92435BV0

 

UNITED KINGDOM GILT IBND GOVT 8 MO

 

 

 

D

 

 

 

1FE

 

1,221,873.19

 

342.369

 

1,319,222.93

 

250,000.00

 

1,261,175.64

 

58,047.29

 

25,513.57

 

 

(20,272.80

)

2.5

 

-0.106

 

Jan-Jul

 

5,016.55

 

27,593.00

 

8/5/2010

 

7/26/2016

 

G92435NC9

 

UNITED KINGDOM GILT GOVT BND

 

 

 

D

 

 

 

1FE

 

18,025,412.49

 

105.59

 

17,402,841.19

 

10,580,000.00

 

17,537,191.37

 

(134,350.18

)

(470,840.44

)

 

(313,630.96

)

4.5

 

1.32

 

Mar-Sep

 

48,901.23

 

647,978.00

 

4/8/2011

 

3/7/2013

 

G924504Y1

 

UNITED KINGDOM GILT GOVT BND

 

 

 

D

 

 

 

1FE

 

8,120,290.02

 

96.1

 

8,411,621.51

 

5,200,000.00

 

8,119,034.20

 

292,587.31

 

(1,255.82

)

 

(3,302.39

)

2.25

 

2.17

 

Mar-Sep

 

12,017.32

 

95,159.00

 

7/29/2011

 

3/7/2014

 

G92450H50

 

UNITED KINGDOM GILT GOVT BND

 

 

 

D

 

 

 

1FE

 

4,342,883.88

 

103.17

 

3,375,082.75

 

2,100,000.00

 

4,194,042.97

 

(818,960.22

)

(61,341.55

)

 

(898,300.79

)

5.25

 

4.131

 

Jun-Dec

 

54,433.61

 

89,683.00

 

3/3/2008

 

6/7/2012

 

G92450NU8

 

UNITED KINGDOM GILT GOVT BND

 

 

 

D

 

 

 

1FE

 

15,606,989.31

 

112.11

 

15,368,756.30

 

8,800,000.00

 

15,273,557.56

 

95,198.74

 

(188,578.24

)

 

(493,720.50

)

5

 

2.23

 

Mar-Sep

 

45,193.32

 

560,469.00

 

5/26/2011

 

9/7/2014

 

G92450UG1

 

UNITED KINGDOM GILT GOVT BND

 

 

 

D

 

 

 

1FE

 

4,225,449.02

 

109.5

 

4,583,748.61

 

2,450,000.00

 

4,198,226.06

 

385,522.55

 

(27,125.58

)

 

(21,049.45

)

4.75

 

3.449

 

Mar-Sep

 

11,953.12

 

189,979.00

 

12/31/2010

 

3/7/2020

 

G92450YY8

 

UNITED KINGDOM GILT GOVT BND

 

 

 

D

 

 

 

1FE

 

8,371,287.01

 

105.59

 

8,372,026.13

 

4,775,000.00

 

8,339,461.08

 

32,565.05

 

(32,421.95

)

 

(206,534.72

)

4

 

2.003

 

Mar-Sep

 

19,618.01

 

155,345.00

 

7/12/2011

 

9/7/2016

 

G92451CZ7

 

UNITED KINGDOM GILT GOVT BND

 

 

 

D

 

 

 

1FE

 

10,549,837.81

 

103.19

 

10,850,583.29

 

6,750,000.00

 

10,585,523.01

 

265,060.28

 

39,997.26

 

 

(359,131.76

)

2

 

2.679

 

Jan-Jul

 

40,574.76

 

107,386.00

 

4/1/2011

 

1/22/2016

 

G9544BAV4

 

WEST BROMWICH BUILDING SOCIETY LOCAL BND

 

 

 

D

 

 

 

2FE

 

2,743,325.17

 

100.512

 

2,818,408.49

 

1,800,000.00

 

2,719,902.98

 

98,505.51

 

(14,011.90

)

 

94,113.67

 

2

 

1.29

 

April

 

27,502.63

 

58,109.00

 

6/29/2010

 

4/5/2012

 

L32484PW8

 

EUROPEAN INVESTMENT BANK CORP BND

 

 

 

D

 

 

 

1FE

 

1,980,724.79

 

107.382

 

1,489,125.29

 

950,000.00

 

1,919,136.29

 

(430,011.00

)

(13,902.67

)

 

(436,590.48

)

5.5

 

4.437

 

December

 

66,454.03

 

 

3/10/2008

 

12/7/2011

 

L4700FBT4

 

PBI PFANDBRIEFBANK INTL CORP BND

 

 

 

F

 

 

 

1FE

 

687,852.90

 

100.02

 

700,140.10

 

700,000.00

 

699,974.88

 

165.22

 

2,286.12

 

 

 

5

 

5.388

 

October

 

34,708.33

 

 

6/30/2007

 

10/4/2011

 

L5137LAC9

 

INTELSAT JACKSON TERM LOAN

 

 

 

F

 

 

 

4FE

 

 

95.25

 

 

 

 

 

 

 

 

#N/A

 

0.306

 

 

 

 

25,561.00

 

8/17/2011

 

3/7/2018

 

L8882WAD4

 

STYRON CORP TERM LOAN

 

 

 

 

 

1

 

1Z

 

 

0

 

 

 

 

 

 

 

 

#N/A

 

0

 

 

 

 

250.00

 

00/00/0000

 

7/27/2017

 

N6520WTR3

 

BANK NEDERLANDSE GEMEENTEN CORP BND

 

 

 

F

 

 

 

1FE

 

10,614,199.80

 

109.8

 

10,980,000.30

 

10,000,000.00

 

10,354,894.01

 

625,106.29

 

(109,853.39

)

 

 

5

 

3.526

 

May

 

187,500.00

 

500,000.00

 

8/31/2009

 

5/16/2014

 

N6521AVK2

 

BANK NEDERLANDSE GEMEENTEN CORP BND

 

 

 

F

 

 

 

1FE

 

5,478,026.68

 

105.385

 

5,585,405.11

 

5,300,000.00

 

5,384,515.74

 

200,889.37

 

(34,116.59

)

 

 

3.75

 

2.802

 

July

 

41,958.33

 

198,750.00

 

8/31/2009

 

7/15/2013

 

N7277KAG6

 

RABOBANK NEDERLAND NV CORP BND MTN

 

 

 

D

 

 

 

1FE

 

813,092.49

 

105.341

 

820,497.70

 

500,000.00

 

814,281.22

 

6,216.48

 

441.34

 

 

(37,830.66

)

4

 

4.047

 

September

 

1,787.64

 

31,790.00

 

9/3/2009

 

9/10/2015

 

Q2694VMT4

 

COMMONWEALTH BANK OF AUSTRALIA CORP BND

 

 

 

D

 

 

 

1FE

 

679,712.30

 

102.447

 

718,163.29

 

450,000.00

 

680,689.13

 

37,474.16

 

565.13

 

 

16,744.13

 

3.875

 

3.97

 

December

 

21,656.89

 

 

4/7/2010

 

12/14/2015

 

U75000AU0

 

ROCHE HOLDINGS INC SENIOR CORP BND

 

 

 

O

 

 

 

1FE

 

742,348.77

 

104.722

 

912,016.33

 

525,000.00

 

744,341.52

 

167,674.81

 

653.33

 

 

70,139.02

 

5.5

 

5.634

 

March

 

25,931.95

 

47,006.00

 

2/25/2009

 

3/4/2015

 

W5818PAC4

 

NORDEA BANK AB CORP BND MTN

 

 

 

D

 

 

 

1FE

 

1,375,264.68

 

102.254

 

1,433,627.42

 

900,000.00

 

1,376,900.33

 

56,727.09

 

977.61

 

 

18,996.67

 

3.875

 

3.951

 

December

 

43,164.92

 

 

4/13/2010

 

12/15/2015

 

BRS1D0A10

 

SUNGARD DATA SYSTEMS INC.

 

 

 

 

 

 

 

 

 

2,004,900.53

 

 

 

1,974,260.76

 

2,051,180.01

 

2,004,952.43

 

(30,691.67

)

51.90

 

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

2/28/2014

 

BRS29NQV0

 

HELIX ENERGY SOLUTIONS

 

 

 

 

 

 

 

 

 

1,506,139.00

 

 

 

1,457,115.00

 

1,509,963.73

 

1,507,309.91

 

(50,194.91

)

2,895.77

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

7/1/2013

 

BRS2ZVNV6

 

HCA INC

 

 

 

 

 

 

 

 

 

1,995,000.00

 

 

 

1,936,420.00

 

2,000,000.00

 

1,995,704.87

 

(59,284.87

)

704.87

 

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

11/18/2013

 

BRS382CP3

 

ARAMARK CORP

 

 

 

 

 

 

 

 

 

123,722.18

 

 

 

118,970.76

 

123,413.65

 

123,663.72

 

(4,692.96

)

(58.46

)

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

1/26/2014

 

BRS3D32G6

 

GRAY TELEVISION INC.

 

 

 

 

 

 

 

 

 

5,553,211.19

 

 

 

5,376,764.22

 

5,652,314.56

 

5,562,762.46

 

(185,998.24

)

10,140.90

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

12/31/2014

 

BRS3K93X7

 

FORD MOTOR COMPANY

 

 

 

 

 

 

 

 

 

0.01

 

 

 

0.01

 

0.01

 

0.01

 

 

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

12/15/2013

 

BRS448NT2

 

COMMUNITY HLTH SYST INC

 

 

 

 

 

 

 

 

 

1,843,053.56

 

 

 

1,762,346.23

 

1,887,890.98

 

1,852,267.14

 

(89,920.91

)

9,471.22

 

 

 

0

 

 

 

Jun-Dec

 

 

 

 

 

 

7/25/2014

 

BRS47V568

 

CENGAGE (THOMSON LEARNING) TL

 

 

 

 

 

 

 

 

 

3,653,185.98

 

 

 

3,094,856.40

 

3,974,133.42

 

3,686,781.81

 

(591,925.41

)

34,552.53

 

 

 

0

 

 

 

May-Nov

 

 

 

 

 

 

7/3/2014

 

BRS47WDF7

 

COMMUNITY HLTH SYST INC

 

 

 

 

 

 

 

 

 

94,561.58

 

 

 

90,420.72

 

96,862.05

 

95,034.30

 

(4,613.58

)

491.31

 

 

 

0

 

 

 

Jun-Dec

 

 

 

 

 

 

7/25/2014

 

BRS4QJRM5

 

PINNACLE FOODS FINANCE

 

 

 

 

 

 

 

 

 

4,933,343.26

 

 

 

4,721,201.66

 

4,989,380.88

 

4,945,592.95

 

(224,391.29

)

12,462.07

 

 

 

0

 

 

 

Apr-Oct

 

 

 

 

 

 

4/2/2014

 

BRS59XBE5

 

FIRST DATA CORPORATION

 

 

 

 

 

 

 

 

 

3,610,894.82

 

 

 

3,359,855.83

 

3,875,802.68

 

3,647,313.81

 

(287,457.98

)

45,169.47

 

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

9/24/2014

 

BRS5BXCY7

 

ALLISON TRANSMIS

 

 

 

 

 

 

 

 

 

6,338,537.58

 

 

 

6,025,766.19

 

6,403,985.58

 

6,345,735.78

 

(319,969.59

)

7,947.48

 

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

8/7/2014

 

BRS5LH024

 

SERVICEMASTER CO

 

 

 

 

 

 

 

 

 

3,426,625.04

 

 

 

3,362,565.95

 

3,607,168.01

 

3,447,505.04

 

(84,939.09

)

21,752.43

 

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

7/24/2014

 

BRS6WT6X0

 

SERVICEMASTER CO

 

 

 

 

 

 

 

 

 

341,240.67

 

 

 

334,861.35

 

359,220.06

 

343,320.01

 

(8,458.66

)

2,166.22

 

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

7/24/2014

 

BRS748CX8

 

FEDERAL MOGUL TL B

 

 

 

 

 

 

 

 

 

4,234,474.65

 

 

 

4,084,207.69

 

4,444,380.27

 

4,246,939.06

 

(162,731.37

)

12,969.84

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

12/29/2014

 

BRS748CY6

 

FEDERAL MOGUL CORP

 

 

 

 

 

 

 

 

 

2,160,446.29

 

 

 

2,083,779.46

 

2,267,540.98

 

2,165,400.17

 

(81,620.71

)

5,211.75

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

12/28/2015

 

BRS7AQH73

 

SUNGARD DATA SYSTEMS INC.

 

 

 

 

 

 

 

 

 

3,246,250.00

 

 

 

3,168,750.00

 

3,250,000.00

 

3,246,652.51

 

(77,902.51

)

402.51

 

 

 

0

 

 

 

Monthly

 

 

 

 

 

 

2/28/2014

 

BRS8CFLV5

 

SUNGARD DATA SYSTEMS INC.

 

 

 

 

 

 

 

 

 

675,500.00

 

 

 

673,316.00

 

700,000.00

 

675,925.73

 

(2,609.73

)

7,989.73

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

2/28/2016

 

BRS8ZGYZ5

 

MICHAELS STORES, INC.

 

 

 

 

 

 

 

 

 

3,985,000.00

 

 

 

3,812,520.00

 

4,000,000.00

 

3,985,703.40

 

(173,183.40

)

703.40

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

7/31/2016

 

BRS9NN9D8

 

CHARTER COMMUNICATIONS HOLDING

 

 

 

 

 

 

 

 

 

5,958,729.97

 

 

 

5,817,472.63

 

6,028,469.05

 

5,961,510.13

 

(144,037.50

)

3,273.50

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

9/6/2016

 

BRS9XUH75

 

LIVE NATION INC

 

 

 

 

 

 

 

 

 

976,250.00

 

 

 

967,080.00

 

1,000,000.00

 

976,250.00

 

(9,170.00

)

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

11/7/2016

 

BRSAQNGR3

 

ADVANCE PIERRE FOODS

 

 

 

 

 

 

 

 

 

1,975,050.00

 

 

 

1,928,638.80

 

1,980,000.00

 

1,975,711.78

 

(47,072.98

)

690.45

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

9/29/2016

 

BRSAR9KL1

 

GRIFOLS SA

 

 

 

 

 

 

 

 

 

4,016,181.25

 

 

 

3,909,481.80

 

3,990,000.00

 

4,009,637.43

 

(100,155.63

)

(6,646.95

)

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

6/1/2017

 

BRSAWQ120

 

UNIVISION COMMUNICATIONS INC.

 

 

 

 

 

 

 

 

 

6,677,498.03

 

 

 

5,844,686.21

 

6,964,841.70

 

6,696,097.82

 

(851,411.61

)

20,006.12

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/31/2017

 

BRSAZMN71

 

MEDASSETS INC

 

 

 

 

 

 

 

 

 

954,887.48

 

 

 

973,586.32

 

997,271.52

 

955,734.69

 

17,851.63

 

963.17

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

11/15/2016

 

BRSB5PYE8

 

INTELSAT JACKSON

 

 

 

 

 

 

 

 

 

3,563,062.50

 

 

 

3,464,718.75

 

3,637,500.00

 

3,565,097.01

 

(100,378.26

)

2,061.30

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/7/2018

 

BRSB98M47

 

SWIFT TRANSPORTATION CO LLC

 

 

 

 

 

 

 

 

 

3,516,228.95

 

 

 

3,483,377.16

 

3,602,251.46

 

3,520,304.39

 

(36,927.23

)

8,552.93

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

12/21/2016

 

BRSBBJXL0

 

COMMSCOPE INC.

 

 

 

 

 

 

 

 

 

287,107.25

 

 

 

282,600.10

 

288,550.00

 

287,248.47

 

(4,648.37

)

148.47

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

1/6/2018

 

BRSBBKBD9

 

UCI INTERNATIONAL TL B

 

 

 

 

 

 

 

 

 

168,725.00

 

 

 

167,037.75

 

168,725.00

 

168,725.00

 

(1,687.25

)

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

7/6/2017

 

BRSBGXH81

 

DEL MONTE FOODS CO

 

 

 

 

 

 

 

 

 

5,919,041.71

 

 

 

5,519,092.86

 

5,950,504.43

 

5,919,450.40

 

(400,357.54

)

445.97

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/1/2018

 

BRSBH1CU6

 

J CREW GROUP INC

 

 

 

 

 

 

 

 

 

1,271,074.15

 

 

 

1,166,574.04

 

1,315,932.36

 

1,271,419.00

 

(104,844.96

)

344.85

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/1/2018

 

BRSBH1FB5

 

TWCC HOLDING CORP

 

 

 

 

 

 

 

 

 

3,828,106.52

 

 

 

3,832,110.92

 

3,887,981.20

 

3,828,331.54

 

3,779.38

 

225.02

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/1/2017

 

BRSBH8VK2

 

VERTAFORE INC

 

 

 

 

 

 

 

 

 

1,994,977.90

 

 

 

1,916,435.62

 

1,994,977.90

 

1,994,977.90

 

(78,542.28

)

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

7/29/2016

 

BRSBHN254

 

CPG INTERNATIONAL I INC

 

 

 

 

 

 

 

 

 

1,185,045.00

 

 

 

1,131,450.00

 

1,191,000.00

 

1,185,627.09

 

(54,177.09

)

627.09

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/3/2017

 

BRSBHPM99

 

TRANSUNION CORP

 

 

 

 

 

 

 

 

 

2,892,534.34

 

 

 

2,903,025.63

 

2,981,284.34

 

2,893,369.02

 

9,656.61

 

834.68

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/3/2018

 

BRSBHT2D4

 

ACOSTA

 

 

 

 

 

 

 

 

 

3,010,000.00

 

 

 

2,850,356.25

 

2,992,500.00

 

3,008,799.91

 

(158,443.66

)

(1,200.09

)

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/3/2018

 

BRSBJK2P4

 

REYNOLDS GROUP HOLDINGS INC

 

 

 

 

 

 

 

 

 

6,291,912.47

 

 

 

6,141,801.13

 

6,340,643.72

 

6,291,399.83

 

(149,598.70

)

(512.64

)

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/9/2018

 

BRSBK9AU7

 

TRANSDIGM GROUP INC

 

 

 

 

 

 

 

 

 

2,970,656.66

 

 

 

3,004,713.10

 

3,079,293.60

 

2,971,410.81

 

33,302.29

 

754.15

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/14/2017

 

BRSBMD3R1

 

PETCO ANIMAL SUPPLIES, INC.

 

 

 

 

 

 

 

 

 

4,935,000.00

 

 

 

4,721,250.00

 

5,000,000.00

 

4,935,976.24

 

(214,726.24

)

976.24

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

11/24/2017

 

BRSBN61P1

 

TOMKINS PLC

 

 

 

 

 

 

 

 

 

3,559,902.19

 

 

 

3,596,615.04

 

3,672,338.66

 

3,560,925.88

 

35,689.16

 

1,335.88

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

9/29/2016

 

BRSBNUWH2

 

HERTZ CORPORATION THE

 

 

 

 

 

 

 

 

 

2,769,270.00

 

 

 

2,690,536.36

 

2,838,867.17

 

2,770,090.36

 

(79,554.00

)

848.19

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

2/28/2018

 

BRSBNVLG4

 

MICROSEMI CORPORATION

 

 

 

 

 

 

 

 

 

960,081.66

 

 

 

988,759.42

 

997,487.44

 

960,572.18

 

28,187.24

 

584.74

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

10/25/2017

 

BRSBPYZG1

 

ATLANTIC BROADBAND FINANCE LLC

 

 

 

 

 

 

 

 

 

1,693,034.09

 

 

 

1,653,893.55

 

1,745,534.09

 

1,693,534.16

 

(39,640.61

)

500.07

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/9/2016

 

BRSBPZM15

 

NOVELIS INC/GA

 

 

 

 

 

 

 

 

 

2,517,749.87

 

 

 

2,544,917.69

 

2,620,249.87

 

2,519,334.25

 

25,583.44

 

1,584.38

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/10/2017

 

BRSBQ1JW5

 

CALPINE CORPORATION

 

 

 

 

 

 

 

 

 

3,917,493.73

 

 

 

3,740,796.19

 

3,982,493.73

 

3,918,484.45

 

(177,688.26

)

990.72

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/31/2018

 

BRSBR4P35

 

JO-ANN STORES

 

 

 

 

 

 

 

 

 

2,666,317.50

 

 

 

2,490,125.09

 

2,693,250.00

 

2,668,322.58

 

(178,197.49

)

2,072.58

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

3/31/2018

 

BRSBRMCQ8

 

WARNER CHILCOTT CORP

 

 

 

 

 

 

 

 

 

1,146,628.57

 

 

 

1,152,076.61

 

1,186,057.14

 

1,146,628.57

 

5,448.04

 

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/14/2018

 

BRSBRMD53

 

WARNER CHILCOTT CORP

 

 

 

 

 

 

 

 

 

572,504.41

 

 

 

575,203.64

 

592,169.29

 

572,504.41

 

2,699.23

 

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/14/2018

 

BRSBRMD95

 

WARNER CHILCOTT CORP

 

 

 

 

 

 

 

 

 

787,193.55

 

 

 

790,904.99

 

814,232.76

 

787,193.55

 

3,711.44

 

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/14/2018

 

BRSBRMFR3

 

METROPCS WIRELESS INC

 

 

 

 

 

 

 

 

 

5,122,405.99

 

 

 

4,993,055.92

 

5,220,131.65

 

5,124,643.54

 

(131,587.62

)

2,386.89

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/31/2018

 

BRSBRN2H7

 

MEG ENERGY CORP

 

 

 

 

 

 

 

 

 

7,018,750.00

 

 

 

6,846,280.00

 

7,000,000.00

 

7,011,940.28

 

(165,660.28

)

(7,809.72

)

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/14/2018

 

BRSBT2DD8

 

FIRST DATA CORPORATION

 

 

 

 

 

 

 

 

 

1,726,250.00

 

 

 

1,615,840.00

 

2,000,000.00

 

1,730,586.21

 

(115,046.21

)

4,336.21

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

9/24/2016

 

BRSBTMS22

 

WESCO AIRCRAFT

 

 

 

 

 

 

 

 

 

271,890.00

 

 

 

271,549.29

 

272,571.43

 

271,942.95

 

(393.66

)

121.52

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

4/7/2017

 

BRSBU37B5

 

PILOT TRAVEL CENTERS LLC

 

 

 

 

 

 

 

 

 

2,592,843.75

 

 

 

2,639,905.13

 

2,681,250.00

 

2,594,256.37

 

45,648.76

 

1,756.37

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

3/25/2018

 

BRSBW6C87

 

AMERISTAR CASINOS, INC.

 

 

 

 

 

 

 

 

 

2,862,458.44

 

 

 

2,811,228.59

 

2,913,492.17

 

2,863,159.84

 

(51,931.25

)

730.17

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

3/29/2018

 

BRSBWG6S8

 

DELTA AIR LINES INC.

 

 

 

 

 

 

 

 

 

4,428,918.75

 

 

 

4,225,035.94

 

4,488,750.00

 

4,432,895.34

 

(207,859.40

)

4,145.34

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

4/20/2017

 

BRSBYALT0

 

EMERGENCY MEDICAL SVCS CORP

 

 

 

 

 

 

 

 

 

4,757,107.50

 

 

 

4,535,862.72

 

4,776,000.00

 

4,757,962.46

 

(222,099.74

)

949.96

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

4/27/2018

 

BRSBZZDX4

 

GOLDEN LIVING

 

 

 

 

 

 

 

 

 

4,080,483.36

 

 

 

3,611,606.55

 

4,139,377.13

 

4,083,401.65

 

(471,795.10

)

3,024.52

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

4/26/2018

 

BRSBZZFY0

 

IASIS HLTHCARE CORP

 

 

 

 

 

 

 

 

 

3,357,229.02

 

 

 

3,179,473.18

 

3,404,146.87

 

3,358,451.90

 

(178,978.72

)

1,301.90

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

4/29/2018

 

BRSC095F6

 

IPAYMENT INC.

 

 

 

 

 

 

 

 

 

956,526.68

 

 

 

932,493.34

 

961,333.34

 

956,844.61

 

(24,351.27

)

511.27

 

 

 

0

 

 

 

J-A-J-O

 

 

 

 

 

 

4/20/2017

 

BRSC2UZX5

 

SENSATA TECHNOLOGIES FINANCE C

 

 

 

 

 

 

 

 

 

4,546,000.00

 

 

 

4,453,735.76

 

4,588,500.00

 

4,546,059.43

 

(92,323.67

)

59.43

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

5/9/2018

 

BRSC4T6W0

 

BAKERCORP

 

 

 

 

 

 

 

 

 

1,194,000.00

 

 

 

1,152,000.00

 

1,200,000.00

 

1,194,284.40

 

(42,284.40

)

284.40

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

5/17/2018

 

BRSC6D3K2

 

QUINTILES TRANSNATIONAL CORP.

 

 

 

 

 

 

 

 

 

2,901,951.25

 

 

 

2,854,751.73

 

3,042,375.00

 

2,904,587.06

 

(49,835.33

)

2,712.06

 

 

 

0

 

 

 

F-M-A-N

 

 

 

 

 

 

5/25/2018

 

BRSCB4WP3

 

AMC NETWORKS INC

 

 

 

 

 

 

 

 

 

2,565,532.50

 

 

 

2,515,695.00

 

2,593,500.00

 

2,566,007.59

 

(50,312.59

)

507.59

 

 

 

0

 

 

 

M-J-S-D

 

 

 

 

 

 

11/21/2018

 

BRSCCYM28

 

DOLE FOOD CO INC.

 

 

 

 

 

 

 

 

 

2,148,340.69

 

 

 

2,128,058.62

 

2,164,575.00

 

2,148,661.58

 

(20,602.96

)

361.58

 

 

 

0

 

 

 

At Mat

 

 

 

 

 

 

6/27/2018

 

 



 

 

 

 

 

Codes

 

 

 

 

 

FAIR VALUE

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

INTEREST

 

DATES

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

8

 

9

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

20

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

7

 

RATE
USED TO

 

GAAP
FAIR

 

10

 

11
GAAP

 

 

 

13

 

 

 

15
TOTAL

 

16

 

17

 

18

 

19

 

GROSS
REC’D

 

 

 

 

 

1
CUSIP

 

2
DESCRIPTION

 

3
*

 

FOREIGN
CODE

 

BOND
CHAR

 

NAIC
DESIG

 

ACTUAL
COST

 

OBTAIN
FAIR VALUE

 

MARKET
VALUE

 

PAR
VALUE

 

BOOK
VALUE

 

12
UGL

 

CURRENT YEAR
AMORTIZATION

 

14
IMPAIRMENTS

 

FX CHG
IN B/A. C.V.

 

INTEREST
RATE

 

EFFECTIVE
RATE OF

 

HOW
PAID

 

ACCRUED
INTEREST

 

DURING
YEAR

 

21
ACQUIRED

 

22
MATURITY

 

BRSCCZ003

 

DOLE FOOD CO INC.

 

 

 

 

 

 

 

 

 

3,989,775.56

 

 

 

3,952,108.87

 

4,019,925.00

 

3,990,371.49

 

(38,262.62

)

671.49

 

 

 

0

 

 

 

At Mat

 

 

 

 

 

 

6/27/2018

 

N6521APY9

 

BANK NEDERLANDSE GEMEENTEN CORP BND EMTN

 

 

 

 

 

 

 

 

 

5,210,713.68

 

 

 

5,129,902.80

 

5,000,000.00

 

5,101,902.52

 

28,000.28

 

(114,939.20

)

 

 

 

 

 

 

March

 

154,166.67

 

 

 

 

 

3/26/2012

 

24422EQD4

 

JOHN DEERE CAPITAL CORPORATION CORP BND

 

 

 

 

 

 

 

 

 

1,040,273.75

 

 

 

1,001,696.35

 

1,000,000.00

 

1,001,896.60

 

(200.25

)

(83,101.02

)

 

 

 

 

 

 

Apr-Oct

 

24,600.00

 

 

 

 

 

10/17/2011

 

BRS35M6E4

 

TPF GENERATION HOLDINGS LLC TERM LOAN

 

 

 

 

 

 

 

 

 

173,574.26

 

 

 

163,301.45

 

173,791.50

 

173,725.78

 

(10,424.33

)

151.52

 

 

 

 

 

 

 

M-J-S-D

 

 

 

 

 

 

12/15/2011

 

52517PA35

 

LEHMAN BROS HOLDINGS INC

 

 

 

 

 

 

 

 

 

1,575,000.00

 

 

 

2,081,250.00

 

9,000,000.00

 

1,575,000.00

 

506,250.00

 

 

 

 

 

 

 

 

Jan-Jul

 

 

 

 

 

 

7/26/2010

 

TOTAL

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

4,777,686,331.39

 

4,645,047,118.26

 

4,744,881,574.69

 

32,804,456.70

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 



 

Validus Holdings, Ltd September 30, 2011 GAAP short-term investments portfolio in Schedule D format

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CHANGE IN BOOK/ADJUSTED CARRYING VALUE

 

 

 

 

 

INTEREST

 

 

 

 

 

 

 

 

 

 

 

 

 

7

 

 

 

 

 

 

 

11

 

 

 

 

 

 

 

15

 

 

 

17

 

 

 

 

 

 

 

 

 

 

 

 

 

4

 

5

 

6

 

GAAP

 

 

 

9

 

 

 

TOTAL

 

12

 

13

 

14

 

NON-ADMITTED

 

16

 

EFFECTIVE 

 

18

 

19

 

20

 

1

 

2

 

3

 

DATE

 

NAME OF

 

MATURITY

 

BOOK

 

8

 

CURRENT YEAR

 

10

 

FX CHG

 

PAR

 

ACTUAL

 

ACCRUED

 

ACCRUED

 

INTEREST

 

RATE

 

HOW

 

GROSS REC’D

 

PAID FOR

 

DESCRIPTION

 

*

 

CUSIP

 

ACQUIRED

 

VENDOR

 

DATE

 

VALUE

 

UGL

 

AMORTIZATION

 

IMPAIRMENTS

 

IN B/A. C.V.

 

VALUE

 

COST

 

INTEREST

 

INTEREST

 

RATE

 

OF INTEREST

 

PAID

 

DURING YEAR

 

ACCRUED INT

 

FHLB AGENCY CASH

 

 

 

313384SX8

 

9/19/2011

 

 

 

2/10/2012

 

1,399,614.99

 

 

79.56

 

 

 

1,400,000.00

 

1,399,582.92

 

 

 

 

0.075

 

0.076

 

At Mat

 

 

 

FHLMC DN

 

 

 

313396TB9

 

9/28/2011

 

 

 

2/14/2012

 

19,396,335.55

 

 

53.88

 

 

 

19,400,000.00

 

19,396,281.67

 

 

 

 

0.05

 

0.051

 

At Mat

 

 

 

FNMA DN

 

 

 

313588TK1

 

9/29/2011

 

 

 

2/22/2012

 

9,996,613.75

 

 

5.00

 

 

 

10,000,000.00

 

9,996,002.49

 

 

 

 

0.05

 

0.051

 

At Mat

 

 

 

FNMA DN

 

 

 

313588TK1

 

9/19/2011

 

 

 

2/22/2012

 

3,798,783.97

 

 

93.00

 

 

 

3,800,000.00

 

3,798,691.11

 

 

 

 

0.08

 

0.081

 

At Mat

 

 

 

UNITED STATES TREASURY TBILL CASH

 

 

 

91279##$2

 

9/28/2011

 

 

 

12/29/2011

 

2,999,907.29

 

 

2.08

 

 

 

3,000,000.00

 

2,999,905.21

 

 

 

 

0.012

 

0.013

 

At Mat

 

 

 

UNITED STATES TREASURY TBILL CASH

 

 

 

9127952Y6

 

6/17/2011

 

 

 

1/12/2012

 

1,898,612.35

 

(46.48

)

26,376.37

 

 

 

1,900,000.00

 

1,895,545.29

 

 

 

 

0.264

 

0.268

 

At Mat

 

 

 

UNITED STATES TREASURY TBILL CASH

 

 

 

9127953C3

 

6/10/2011

 

 

 

2/9/2012

 

15,785,699.55

 

 

28,276.44

 

 

 

15,800,000.00

 

15,761,718.57

 

 

 

 

0.249

 

0.252

 

At Mat

 

 

 

UNITED STATES TREASURY TBILL CASH

 

 

 

9127953G4

 

3/23/2011

 

 

 

3/8/2012

 

26,973,017.14

 

 

34,022.31

 

 

 

27,000,000.00

 

26,940,674.99

 

 

 

 

0

 

0.226

 

At Mat

 

 

 

UNITED STATES TREASURY TBILL CASH

 

 

 

9127953R0

 

5/11/2011

 

 

 

11/3/2011

 

10,599,407.14

 

 

2,550.00

 

 

 

10,600,000.00

 

10,596,856.80

 

 

 

 

0.061

 

0.062

 

At Mat

 

 

 

UNITED STATES TREASURY TBILL CASH

 

 

 

9127953R0

 

5/11/2011

 

 

 

11/3/2011

 

1,199,932.88

 

 

289.00

 

 

 

1,200,000.00

 

1,199,644.17

 

 

 

 

0.061

 

0.062

 

At Mat

 

 

 

UNITED STATES TREASURY TBILL CASH

 

 

 

9127953R0

 

5/11/2011

 

 

 

11/3/2011

 

1,799,899.33

 

 

433.00

 

 

 

1,800,000.00

 

1,799,466.25

 

 

 

 

0.061

 

0.062

 

At Mat

 

 

 

UNITED STATES TREASURY GOVT BND

 

 

 

912828G$8

 

8/12/2011

 

 

 

5/31/2012

 

4,122,307.34

 

(1,387.22

)

(27,542.23

)

 

 

4,000,000.00

 

4,145,950.90

 

63,852.46

 

 

 

4.75

 

0.141

 

May-Nov

 

 

39,454.00

 

ING BANK NV - (LT) GTD CORP BND GOVT

 

 

 

45324QA$2

 

2/16/2011

 

 

 

2/9/2012

 

11,585,416.38

 

(9,482.68

)

(229,673.63

)

 

 

11,500,000.00

 

11,729,655.00

 

43,604.17

 

 

 

2.625

 

0.533

 

Feb-Aug

 

150,938.00

 

12,578.00

 

FHLB

 

 

 

313384PQ6

 

VARIOUS

 

 

 

11/23/2011

 

2,699,880.75

 

 

24.75

 

 

 

2,700,000.00

 

2,699,856.00

 

 

 

 

0

 

 

 

At Mat

 

 

 

 

 

WELLS FARGO & COMPANY

 

 

 

949746NA5

 

VARIOUS

 

 

 

10/28/2015

 

3,820,182.05

 

(64,142.01

)

31,747.61

 

 

 

4,000,000.00

 

3,782,660.47

 

3,268.78

 

 

 

0.4526

 

 

 

J-A-J-O

 

 

 

 

 

CITI-INSTITUTION LIQ FUND USD

 

 

 

B0A0ATCJ9

 

VARIOUS

 

 

 

 

 

5,890,991.36

 

 

 

 

 

5,890,991.36

 

5,890,991.36

 

 

 

 

0.00112

 

 

 

At Mat

 

 

 

 

 

CITIFUNDS INST CASH RESERVE

 

 

 

BRS668GM8

 

VARIOUS

 

 

 

 

 

7,602,734.13

 

 

 

 

 

7,602,734.13

 

7,602,734.13

 

 

 

 

0.00112

 

 

 

At Mat

 

 

 

 

 

DREYFUS UNIVERSAL USD LIQ FD

 

 

 

DRFUNI$20

 

VARIOUS

 

 

 

 

 

8,817,759.66

 

 

 

 

 

8,817,759.66

 

8,817,759.66

 

 

 

 

0.0514

 

 

 

At Mat

 

 

 

 

 

BONY CASH RESERVE

 

 

 

S875996$0

 

VARIOUS

 

 

 

 

 

154,387,276.34

 

 

 

 

 

154,387,276.34

 

154,387,276.34

 

 

 

 

0.0001

 

 

 

At Mat

 

 

 

 

 

DREYFUS UNIVERSAL LIQ

 

 

 

S99992125

 

VARIOUS

 

 

 

 

 

42,540,485.31

 

 

 

 

 

42,540,485.31

 

42,540,485.31

 

 

 

 

0

 

 

 

At Mat

 

 

 

 

 

BLACKROCK INTL $ RESERVE

 

 

 

S99993578

 

VARIOUS

 

 

 

 

 

35,490,660.00

 

 

 

 

 

35,490,660.00

 

35,490,660.00

 

 

 

 

0.0502

 

 

 

At Mat

 

 

 

 

 

GOLDMAN SACHS

 

 

 

S999936$0

 

VARIOUS

 

 

 

 

 

174,721,965.86

 

 

 

 

 

174,721,965.86

 

174,721,965.86

 

 

 

 

0.00059

 

 

 

At Mat

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

547,527,483.12

 

(75,058.39

)

(133,262.86

)

 

 

547,551,872.66

 

547,594,364.50

 

110,725.41

 

 

 

 

 

 

 

 

 

 

 

 

 

 


 


 

Validus Holdings, Ltd September 30, 2011 GAAP other investments portfolio in Schedule D format

 

 

 

 

 

3

 

4

 

5

 

6

 

7

 

 

 

 

 

 

 

11

 

12

 

13

 

14

 

1

 

2

 

FOREIGN

 

DATE

 

ACTUAL

 

GAAP FAIR

 

GAAP

 

8

 

9

 

10

 

CAP

 

FX

 

INVESTMENT

 

ADDITIONAL

 

DESCRIPTION

 

*

 

CODE

 

ACQUIRED

 

COST

 

MARKET VALUE

 

BOOK VALUE

 

UGL

 

AMORTIZATION

 

IMPAIRMENTS

 

INTEREST

 

UGL

 

INCOME

 

INCOME

 

AIG SELECT HEDGE LTD CI-1-B

 

 

 

 

 

9/4/2009

 

7,911,598.42

 

8,767,401.99

 

7,911,598.42

 

855,803.57

 

 

 

 

 

 

 

AIG SELECT HEDGE LTD SHARE

 

 

 

 

 

9/4/2009

 

17.30

 

17.36

 

17.30

 

0.06

 

 

 

 

 

 

 

GUARDIAN GROWTH EQUITY

 

 

 

 

 

9/4/2009

 

6,486,947.12

 

7,116,678.23

 

6,486,947.12

 

629,731.11

 

 

 

 

 

 

 

MFS MERIDIAN MID CAP GROWTH FUND

 

 

 

 

 

9/4/2009

 

17,203.14

 

21,251.80

 

17,203.14

 

4,048.66

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

14,415,765.98

 

15,905,349.38

 

14,415,765.98

 

1,489,583.40