For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2043-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$8,659.37
|
f. Value of collateral, to the nearest cent:
$3,811.42
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2042-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,221.87
|
f. Value of collateral, to the nearest cent:
$1,006.48
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2040-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$10,106.25
|
f. Value of collateral, to the nearest cent:
$4,855.14
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2042-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,431.25
|
f. Value of collateral, to the nearest cent:
$653.12
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2041-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$218.75
|
f. Value of collateral, to the nearest cent:
$102.78
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2040-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$758.75
|
f. Value of collateral, to the nearest cent:
$367.78
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2039-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$4,965.62
|
f. Value of collateral, to the nearest cent:
$2,475.36
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2044-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$22,187.50
|
f. Value of collateral, to the nearest cent:
$9,626.49
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2040-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$5,000.00
|
f. Value of collateral, to the nearest cent:
$2,436.75
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2039-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$159.37
|
f. Value of collateral, to the nearest cent:
$80.42
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2044-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,687.49
|
f. Value of collateral, to the nearest cent:
$737.35
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2043-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,203.12
|
f. Value of collateral, to the nearest cent:
$992.08
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2042-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,287.50
|
f. Value of collateral, to the nearest cent:
$1,523.92
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2041-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$381.18
|
f. Value of collateral, to the nearest cent:
$181.65
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2034-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$987.50
|
f. Value of collateral, to the nearest cent:
$577.19
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2032-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,826.50
|
f. Value of collateral, to the nearest cent:
$2,387.20
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2030-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,403.12
|
f. Value of collateral, to the nearest cent:
$935.70
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2029-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,618.75
|
f. Value of collateral, to the nearest cent:
$1,115.35
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2028-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$309.37
|
f. Value of collateral, to the nearest cent:
$220.54
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2027-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,368.75
|
f. Value of collateral, to the nearest cent:
$1,009.28
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2024-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$296.87
|
f. Value of collateral, to the nearest cent:
$241.32
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2022-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$971.87
|
f. Value of collateral, to the nearest cent:
$839.62
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2015-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$187.50
|
f. Value of collateral, to the nearest cent:
$187.36
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2034-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$356.25
|
f. Value of collateral, to the nearest cent:
$209.63
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2033-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,418.51
|
f. Value of collateral, to the nearest cent:
$2,079.68
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2028-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,846.87
|
f. Value of collateral, to the nearest cent:
$1,329.60
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2025-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,968.75
|
f. Value of collateral, to the nearest cent:
$2,356.74
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2021-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,434.36
|
f. Value of collateral, to the nearest cent:
$2,172.62
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2017-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$9,223.54
|
f. Value of collateral, to the nearest cent:
$9,078.82
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2016-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,268.75
|
f. Value of collateral, to the nearest cent:
$1,262.20
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2015-08-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,268.75
|
f. Value of collateral, to the nearest cent:
$1,268.49
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2034-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$159.37
|
f. Value of collateral, to the nearest cent:
$94.44
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2033-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$821.87
|
f. Value of collateral, to the nearest cent:
$504.71
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2032-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$159.37
|
f. Value of collateral, to the nearest cent:
$101.19
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2031-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$875.00
|
f. Value of collateral, to the nearest cent:
$574.76
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2028-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,609.37
|
f. Value of collateral, to the nearest cent:
$1,167.26
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2026-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,628.12
|
f. Value of collateral, to the nearest cent:
$1,263.01
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2025-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,381.25
|
f. Value of collateral, to the nearest cent:
$1,105.29
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2018-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,920.65
|
f. Value of collateral, to the nearest cent:
$3,811.53
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2016-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$93.75
|
f. Value of collateral, to the nearest cent:
$93.49
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2015-05-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$93.75
|
f. Value of collateral, to the nearest cent:
$93.74
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2036-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,181.25
|
f. Value of collateral, to the nearest cent:
$1,229.98
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2035-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$15,496.87
|
f. Value of collateral, to the nearest cent:
$8,991.28
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2034-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$725.00
|
f. Value of collateral, to the nearest cent:
$434.05
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2029-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$612.50
|
f. Value of collateral, to the nearest cent:
$432.69
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2028-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$934.37
|
f. Value of collateral, to the nearest cent:
$683.53
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2025-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,165.62
|
f. Value of collateral, to the nearest cent:
$2,556.65
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2019-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$807.87
|
f. Value of collateral, to the nearest cent:
$773.14
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2018-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,784.32
|
f. Value of collateral, to the nearest cent:
$1,741.80
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2017-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,346.87
|
f. Value of collateral, to the nearest cent:
$1,333.51
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS SEC STRIPPED INT PMT-US TREASURY INTEREST ONLY STRIP
|
b. Maturity date:
2016-02-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,268.75
|
f. Value of collateral, to the nearest cent:
$1,266.63
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-12-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$30,260.62
|
f. Value of collateral, to the nearest cent:
$30,798.82
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-12-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$680,842.81
|
f. Value of collateral, to the nearest cent:
$692,951.85
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-12-15
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$39,056.25
|
f. Value of collateral, to the nearest cent:
$39,397.45
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-12-15
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$44,050.00
|
f. Value of collateral, to the nearest cent:
$44,434.83
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2021-11-30
|
|
c. Coupon or yield:
1.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,812.50
|
f. Value of collateral, to the nearest cent:
$2,856.11
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2020-11-30
|
|
c. Coupon or yield:
2
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$74,737.50
|
f. Value of collateral, to the nearest cent:
$77,062.33
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-11-30
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,468.75
|
f. Value of collateral, to the nearest cent:
$2,438.87
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-11-30
|
|
c. Coupon or yield:
1.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,162.50
|
f. Value of collateral, to the nearest cent:
$3,193.72
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-11-30
|
|
c. Coupon or yield:
1.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$38,465.62
|
f. Value of collateral, to the nearest cent:
$38,845.41
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-11-30
|
|
c. Coupon or yield:
0.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$31,125.00
|
f. Value of collateral, to the nearest cent:
$31,204.15
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-11-30
|
|
c. Coupon or yield:
2.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$6,140.62
|
f. Value of collateral, to the nearest cent:
$6,430.39
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-11-30
|
|
c. Coupon or yield:
0.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$19,256.56
|
f. Value of collateral, to the nearest cent:
$19,288.56
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2021-11-15
|
|
c. Coupon or yield:
2
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$923.12
|
f. Value of collateral, to the nearest cent:
$946.73
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-11-15
|
|
c. Coupon or yield:
3.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$17,812.50
|
f. Value of collateral, to the nearest cent:
$19,669.03
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-11-15
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$234.68
|
f. Value of collateral, to the nearest cent:
$235.91
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-11-15
|
|
c. Coupon or yield:
0.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,681.87
|
f. Value of collateral, to the nearest cent:
$3,692.80
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2020-10-31
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$115,757.50
|
f. Value of collateral, to the nearest cent:
$116,941.69
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2020-10-31
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$82,500.00
|
f. Value of collateral, to the nearest cent:
$83,343.97
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-10-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,406.25
|
f. Value of collateral, to the nearest cent:
$1,415.47
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-10-31
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$22,269.06
|
f. Value of collateral, to the nearest cent:
$22,777.08
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-10-31
|
|
c. Coupon or yield:
0.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$57,136.56
|
f. Value of collateral, to the nearest cent:
$57,101.13
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-10-31
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,140.31
|
f. Value of collateral, to the nearest cent:
$3,165.33
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-09-30
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$135,551.56
|
f. Value of collateral, to the nearest cent:
$133,714.11
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-09-30
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,093.75
|
f. Value of collateral, to the nearest cent:
$1,091.23
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-09-30
|
|
c. Coupon or yield:
1.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,121.87
|
f. Value of collateral, to the nearest cent:
$3,212.03
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-09-30
|
|
c. Coupon or yield:
0.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$78.12
|
f. Value of collateral, to the nearest cent:
$78.24
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-09-30
|
|
c. Coupon or yield:
3
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,238.75
|
f. Value of collateral, to the nearest cent:
$2,325.40
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-09-30
|
|
c. Coupon or yield:
1.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$33,312.50
|
f. Value of collateral, to the nearest cent:
$33,507.99
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-09-15
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,187.18
|
f. Value of collateral, to the nearest cent:
$2,203.93
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2021-08-31
|
|
c. Coupon or yield:
2
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$20,937.50
|
f. Value of collateral, to the nearest cent:
$21,363.47
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2020-08-31
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$15,312.50
|
f. Value of collateral, to the nearest cent:
$15,843.72
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-08-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$828.75
|
f. Value of collateral, to the nearest cent:
$843.49
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-08-31
|
|
c. Coupon or yield:
1.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$718.75
|
f. Value of collateral, to the nearest cent:
$740.41
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-08-31
|
|
c. Coupon or yield:
0.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,812.50
|
f. Value of collateral, to the nearest cent:
$2,818.78
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-08-31
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$165,478.43
|
f. Value of collateral, to the nearest cent:
$167,071.43
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-08-31
|
|
c. Coupon or yield:
0.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,562.50
|
f. Value of collateral, to the nearest cent:
$1,565.06
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2024-08-15
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,271,272.18
|
f. Value of collateral, to the nearest cent:
$1,317,171.43
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2022-08-15
|
|
c. Coupon or yield:
1.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$55,355.62
|
f. Value of collateral, to the nearest cent:
$54,830.29
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2021-08-15
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$84.37
|
f. Value of collateral, to the nearest cent:
$86.82
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-08-15
|
|
c. Coupon or yield:
3.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$0.00
|
f. Value of collateral, to the nearest cent:
$0.00
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-08-15
|
|
c. Coupon or yield:
4
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$88,364.06
|
f. Value of collateral, to the nearest cent:
$97,771.10
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-08-15
|
|
c. Coupon or yield:
0.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$94.06
|
f. Value of collateral, to the nearest cent:
$94.61
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-08-15
|
|
c. Coupon or yield:
4.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$37,710.62
|
f. Value of collateral, to the nearest cent:
$40,278.35
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-08-15
|
|
c. Coupon or yield:
0.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$35,376.56
|
f. Value of collateral, to the nearest cent:
$35,416.75
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-08-15
|
|
c. Coupon or yield:
4.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,004.37
|
f. Value of collateral, to the nearest cent:
$3,067.55
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-07-31
|
|
c. Coupon or yield:
2.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$44,365.62
|
f. Value of collateral, to the nearest cent:
$46,385.67
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-07-31
|
|
c. Coupon or yield:
1.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$115,857.50
|
f. Value of collateral, to the nearest cent:
$117,606.89
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-07-31
|
|
c. Coupon or yield:
0.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,187.50
|
f. Value of collateral, to the nearest cent:
$3,178.47
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-07-31
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$15,218.75
|
f. Value of collateral, to the nearest cent:
$15,887.82
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-07-31
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$63,378.12
|
f. Value of collateral, to the nearest cent:
$66,164.48
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-07-31
|
|
c. Coupon or yield:
0.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,934.37
|
f. Value of collateral, to the nearest cent:
$3,945.97
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-07-31
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$456.25
|
f. Value of collateral, to the nearest cent:
$460.17
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-07-31
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,316.56
|
f. Value of collateral, to the nearest cent:
$1,327.88
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2024-07-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,863.75
|
f. Value of collateral, to the nearest cent:
$1,850.84
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2024-07-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$31,974.06
|
f. Value of collateral, to the nearest cent:
$31,752.64
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2023-07-15
|
|
c. Coupon or yield:
0.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,014.06
|
f. Value of collateral, to the nearest cent:
$2,091.41
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2022-07-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,728.12
|
f. Value of collateral, to the nearest cent:
$3,860.52
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2021-07-15
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,516.56
|
f. Value of collateral, to the nearest cent:
$1,661.74
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2021-07-15
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$89,997.50
|
f. Value of collateral, to the nearest cent:
$98,612.94
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2020-07-15
|
|
c. Coupon or yield:
1.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$69,770.00
|
f. Value of collateral, to the nearest cent:
$81,899.26
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2019-07-15
|
|
c. Coupon or yield:
1.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$6,250.31
|
f. Value of collateral, to the nearest cent:
$7,626.05
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2018-07-15
|
|
c. Coupon or yield:
1.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,890.31
|
f. Value of collateral, to the nearest cent:
$2,214.17
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2017-07-15
|
|
c. Coupon or yield:
2.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$984.37
|
f. Value of collateral, to the nearest cent:
$1,219.81
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2016-07-15
|
|
c. Coupon or yield:
2.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,770.31
|
f. Value of collateral, to the nearest cent:
$3,404.70
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-07-15
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$109,623.75
|
f. Value of collateral, to the nearest cent:
$110,165.05
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2015-07-15
|
|
c. Coupon or yield:
1.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$937.50
|
f. Value of collateral, to the nearest cent:
$1,150.92
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-07-15
|
|
c. Coupon or yield:
0.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$58,042.18
|
f. Value of collateral, to the nearest cent:
$58,102.44
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
US TREASURY-U.S. TREASURY NOTE
|
b. Maturity date:
2021-06-30
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$966,031.25
|
f. Value of collateral, to the nearest cent:
$997,590.71
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
US TREASURY-U.S. TREASURY NOTE
|
b. Maturity date:
2019-06-30
|
|
c. Coupon or yield:
1.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$76,400.93
|
f. Value of collateral, to the nearest cent:
$77,910.75
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-06-30
|
|
c. Coupon or yield:
2.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$118,522.81
|
f. Value of collateral, to the nearest cent:
$124,208.97
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-06-30
|
|
c. Coupon or yield:
1.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$5,394.06
|
f. Value of collateral, to the nearest cent:
$5,443.60
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-06-15
|
|
c. Coupon or yield:
0.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$12,596.87
|
f. Value of collateral, to the nearest cent:
$12,701.04
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2015-06-15
|
|
c. Coupon or yield:
0.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$21,403.40
|
f. Value of collateral, to the nearest cent:
$21,440.09
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-05-31
|
|
c. Coupon or yield:
1.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$859.06
|
f. Value of collateral, to the nearest cent:
$858.91
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-05-31
|
|
c. Coupon or yield:
2.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$11,664.68
|
f. Value of collateral, to the nearest cent:
$12,313.55
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-05-31
|
|
c. Coupon or yield:
0.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,776.25
|
f. Value of collateral, to the nearest cent:
$2,782.73
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-05-31
|
|
c. Coupon or yield:
3.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$14,184.68
|
f. Value of collateral, to the nearest cent:
$14,828.06
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2024-05-15
|
|
c. Coupon or yield:
2.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$7,900.00
|
f. Value of collateral, to the nearest cent:
$8,325.08
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2022-05-15
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$155.93
|
f. Value of collateral, to the nearest cent:
$156.79
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2020-05-15
|
|
c. Coupon or yield:
3.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$937.50
|
f. Value of collateral, to the nearest cent:
$1,045.71
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-05-15
|
|
c. Coupon or yield:
3.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,172.18
|
f. Value of collateral, to the nearest cent:
$2,364.19
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2022-04-30
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$31,249.37
|
f. Value of collateral, to the nearest cent:
$31,166.37
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2021-04-30
|
|
c. Coupon or yield:
2.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$78.12
|
f. Value of collateral, to the nearest cent:
$80.76
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-04-30
|
|
c. Coupon or yield:
1.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$193.75
|
f. Value of collateral, to the nearest cent:
$196.71
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-04-30
|
|
c. Coupon or yield:
1.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$853.12
|
f. Value of collateral, to the nearest cent:
$854.19
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-04-30
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$9,596.87
|
f. Value of collateral, to the nearest cent:
$9,512.90
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-04-30
|
|
c. Coupon or yield:
2.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$22,741.87
|
f. Value of collateral, to the nearest cent:
$23,889.63
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-04-30
|
|
c. Coupon or yield:
0.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,562.50
|
f. Value of collateral, to the nearest cent:
$1,571.28
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY FLOATING RATE NOTE
|
b. Maturity date:
2017-04-30
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,273.12
|
f. Value of collateral, to the nearest cent:
$2,272.77
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-04-30
|
|
c. Coupon or yield:
2
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$43,148.43
|
f. Value of collateral, to the nearest cent:
$43,890.07
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY FLOATING RATE NOTE
|
b. Maturity date:
2016-04-30
|
|
c. Coupon or yield:
0.094
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$31,562.50
|
f. Value of collateral, to the nearest cent:
$31,569.92
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2019-04-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$255.31
|
f. Value of collateral, to the nearest cent:
$261.50
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2018-04-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,621.56
|
f. Value of collateral, to the nearest cent:
$1,684.88
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2018-04-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,017,130.31
|
f. Value of collateral, to the nearest cent:
$3,134,942.09
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2017-04-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,132.18
|
f. Value of collateral, to the nearest cent:
$2,249.90
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2017-04-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$94,740.00
|
f. Value of collateral, to the nearest cent:
$99,970.53
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-04-15
|
|
c. Coupon or yield:
0.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$66,364.37
|
f. Value of collateral, to the nearest cent:
$66,782.24
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2016-04-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$164,798.75
|
f. Value of collateral, to the nearest cent:
$177,338.84
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2016-04-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$516,343.43
|
f. Value of collateral, to the nearest cent:
$555,633.76
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2022-03-31
|
|
c. Coupon or yield:
1.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$346.87
|
f. Value of collateral, to the nearest cent:
$346.61
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2021-03-31
|
|
c. Coupon or yield:
2.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$140,578.12
|
f. Value of collateral, to the nearest cent:
$145,625.90
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-03-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$240.62
|
f. Value of collateral, to the nearest cent:
$243.70
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-03-31
|
|
c. Coupon or yield:
1.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,925.00
|
f. Value of collateral, to the nearest cent:
$1,958.24
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-03-31
|
|
c. Coupon or yield:
1.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$9,531.25
|
f. Value of collateral, to the nearest cent:
$9,695.85
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-03-31
|
|
c. Coupon or yield:
0.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,034.37
|
f. Value of collateral, to the nearest cent:
$3,023.43
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-03-31
|
|
c. Coupon or yield:
2.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$12,062.50
|
f. Value of collateral, to the nearest cent:
$12,776.98
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-03-31
|
|
c. Coupon or yield:
2.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$41,750.00
|
f. Value of collateral, to the nearest cent:
$44,222.91
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-03-31
|
|
c. Coupon or yield:
0.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,484.37
|
f. Value of collateral, to the nearest cent:
$1,483.59
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-03-31
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,031.25
|
f. Value of collateral, to the nearest cent:
$2,050.05
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-03-31
|
|
c. Coupon or yield:
3.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$12,500.00
|
f. Value of collateral, to the nearest cent:
$13,170.02
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-03-31
|
|
c. Coupon or yield:
0.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$4,137.50
|
f. Value of collateral, to the nearest cent:
$4,143.94
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-03-31
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$11,135.62
|
f. Value of collateral, to the nearest cent:
$11,373.05
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-03-15
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$10,684.06
|
f. Value of collateral, to the nearest cent:
$10,732.47
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2020-02-28
|
|
c. Coupon or yield:
1.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,181.25
|
f. Value of collateral, to the nearest cent:
$2,182.64
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-02-28
|
|
c. Coupon or yield:
2.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$46,875.00
|
f. Value of collateral, to the nearest cent:
$49,556.92
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-02-28
|
|
c. Coupon or yield:
0.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$66,520.31
|
f. Value of collateral, to the nearest cent:
$67,022.16
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2024-02-15
|
|
c. Coupon or yield:
2.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$150,569.68
|
f. Value of collateral, to the nearest cent:
$160,967.96
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-02-15
|
|
c. Coupon or yield:
2.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,554,021.87
|
f. Value of collateral, to the nearest cent:
$1,653,327.83
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-02-15
|
|
c. Coupon or yield:
1
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$618.75
|
f. Value of collateral, to the nearest cent:
$622.43
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-02-15
|
|
c. Coupon or yield:
3.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,588.12
|
f. Value of collateral, to the nearest cent:
$1,715.86
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2022-01-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,343.75
|
f. Value of collateral, to the nearest cent:
$2,311.74
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2022-01-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,124.68
|
f. Value of collateral, to the nearest cent:
$3,082.01
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2019-01-31
|
|
c. Coupon or yield:
1.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$29,604.06
|
f. Value of collateral, to the nearest cent:
$30,078.67
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2018-01-31
|
|
c. Coupon or yield:
0.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$111.87
|
f. Value of collateral, to the nearest cent:
$112.22
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY FLOATING RATE NOTE
|
b. Maturity date:
2017-01-31
|
|
c. Coupon or yield:
0.109
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,311.56
|
f. Value of collateral, to the nearest cent:
$2,312.44
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-01-31
|
|
c. Coupon or yield:
0.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$49,233.43
|
f. Value of collateral, to the nearest cent:
$49,639.37
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-01-31
|
|
c. Coupon or yield:
3.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$15,468.75
|
f. Value of collateral, to the nearest cent:
$16,290.94
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-01-31
|
|
c. Coupon or yield:
3.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$20,625.00
|
f. Value of collateral, to the nearest cent:
$21,721.26
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2024-01-15
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$94.68
|
f. Value of collateral, to the nearest cent:
$99.78
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2023-01-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,301.56
|
f. Value of collateral, to the nearest cent:
$1,333.05
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2023-01-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$89,008.12
|
f. Value of collateral, to the nearest cent:
$91,161.82
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2022-01-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,449.06
|
f. Value of collateral, to the nearest cent:
$2,568.98
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2022-01-15
|
|
c. Coupon or yield:
0.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$7,821.25
|
f. Value of collateral, to the nearest cent:
$8,204.22
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2021-01-15
|
|
c. Coupon or yield:
1.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,658.43
|
f. Value of collateral, to the nearest cent:
$3,076.65
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2019-01-15
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,963.75
|
f. Value of collateral, to the nearest cent:
$2,379.13
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2018-01-15
|
|
c. Coupon or yield:
1.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,790.00
|
f. Value of collateral, to the nearest cent:
$3,351.22
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2018-01-15
|
|
c. Coupon or yield:
1.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$18,772.18
|
f. Value of collateral, to the nearest cent:
$22,548.30
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2017-01-15
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,446.56
|
f. Value of collateral, to the nearest cent:
$1,796.06
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2017-01-15
|
|
c. Coupon or yield:
0.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$784,513.75
|
f. Value of collateral, to the nearest cent:
$789,407.87
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-U.S. TREASURY NOTE
|
b. Maturity date:
2016-01-15
|
|
c. Coupon or yield:
0.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$22,265.62
|
f. Value of collateral, to the nearest cent:
$22,321.14
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS NTS-TREASURY INFLATION ADJUSTED NOTE
|
b. Maturity date:
2016-01-15
|
|
c. Coupon or yield:
2
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$15,362.81
|
f. Value of collateral, to the nearest cent:
$18,722.43
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2044-11-15
|
|
c. Coupon or yield:
3
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$41,647.50
|
f. Value of collateral, to the nearest cent:
$44,426.46
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2043-11-15
|
|
c. Coupon or yield:
3.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$4,093.75
|
f. Value of collateral, to the nearest cent:
$4,999.52
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2042-11-15
|
|
c. Coupon or yield:
2.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$77.18
|
f. Value of collateral, to the nearest cent:
$78.20
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2040-11-15
|
|
c. Coupon or yield:
4.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$17,253.75
|
f. Value of collateral, to the nearest cent:
$22,561.24
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2039-11-15
|
|
c. Coupon or yield:
4.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,425.00
|
f. Value of collateral, to the nearest cent:
$1,887.32
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2039-11-15
|
|
c. Coupon or yield:
4.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$45,874.68
|
f. Value of collateral, to the nearest cent:
$60,758.14
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2027-11-15
|
|
c. Coupon or yield:
6.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,640.62
|
f. Value of collateral, to the nearest cent:
$2,388.07
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2026-11-15
|
|
c. Coupon or yield:
6.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$89,201.25
|
f. Value of collateral, to the nearest cent:
$131,610.34
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2024-11-15
|
|
c. Coupon or yield:
7.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$73,144.06
|
f. Value of collateral, to the nearest cent:
$110,860.23
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2018-11-15
|
|
c. Coupon or yield:
9
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$37,240.31
|
f. Value of collateral, to the nearest cent:
$49,111.43
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2016-11-15
|
|
c. Coupon or yield:
7.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$31,327.81
|
f. Value of collateral, to the nearest cent:
$35,782.79
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2044-08-15
|
|
c. Coupon or yield:
3.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$10,203.12
|
f. Value of collateral, to the nearest cent:
$11,062.23
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2039-08-15
|
|
c. Coupon or yield:
4.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$30,111.56
|
f. Value of collateral, to the nearest cent:
$40,207.75
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2029-08-15
|
|
c. Coupon or yield:
6.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$8,950.00
|
f. Value of collateral, to the nearest cent:
$13,200.03
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2029-08-15
|
|
c. Coupon or yield:
6.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$29,784.06
|
f. Value of collateral, to the nearest cent:
$43,927.46
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2027-08-15
|
|
c. Coupon or yield:
6.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$43,279.68
|
f. Value of collateral, to the nearest cent:
$63,319.55
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2015-08-15
|
|
c. Coupon or yield:
10.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$13,326.87
|
f. Value of collateral, to the nearest cent:
$14,018.21
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2044-05-15
|
|
c. Coupon or yield:
3.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,804.68
|
f. Value of collateral, to the nearest cent:
$2,064.12
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2043-05-15
|
|
c. Coupon or yield:
2.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$312.50
|
f. Value of collateral, to the nearest cent:
$324.48
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2043-05-15
|
|
c. Coupon or yield:
2.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$230,766.87
|
f. Value of collateral, to the nearest cent:
$239,614.40
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2041-05-15
|
|
c. Coupon or yield:
4.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$10,937.50
|
f. Value of collateral, to the nearest cent:
$14,634.71
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2030-05-15
|
|
c. Coupon or yield:
6.25
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3,281.25
|
f. Value of collateral, to the nearest cent:
$4,998.48
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2018-05-15
|
|
c. Coupon or yield:
9.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$77,022.50
|
f. Value of collateral, to the nearest cent:
$99,332.60
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2017-05-15
|
|
c. Coupon or yield:
8.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$11,812.50
|
f. Value of collateral, to the nearest cent:
$14,237.37
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2032-04-15
|
|
c. Coupon or yield:
3.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,413.43
|
f. Value of collateral, to the nearest cent:
$2,741.63
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2029-04-15
|
|
c. Coupon or yield:
3.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,100.62
|
f. Value of collateral, to the nearest cent:
$2,307.37
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2029-04-15
|
|
c. Coupon or yield:
3.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$19,631.25
|
f. Value of collateral, to the nearest cent:
$41,155.33
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2028-04-15
|
|
c. Coupon or yield:
3.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$6,430.31
|
f. Value of collateral, to the nearest cent:
$13,165.83
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2028-04-15
|
|
c. Coupon or yield:
3.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$24,223.12
|
f. Value of collateral, to the nearest cent:
$49,595.97
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2045-02-15
|
|
c. Coupon or yield:
0.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$17,156.25
|
f. Value of collateral, to the nearest cent:
$17,161.05
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2045-02-15
|
|
c. Coupon or yield:
2.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$205,417.18
|
f. Value of collateral, to the nearest cent:
$196,388.79
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2043-02-15
|
|
c. Coupon or yield:
0.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$31,780.93
|
f. Value of collateral, to the nearest cent:
$31,370.63
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2043-02-15
|
|
c. Coupon or yield:
3.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$16,325.93
|
f. Value of collateral, to the nearest cent:
$17,654.67
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2042-02-15
|
|
c. Coupon or yield:
0.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$28,482.18
|
f. Value of collateral, to the nearest cent:
$29,542.49
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2042-02-15
|
|
c. Coupon or yield:
3.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$15,044.37
|
f. Value of collateral, to the nearest cent:
$16,292.32
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2042-02-15
|
|
c. Coupon or yield:
0.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$63,463.12
|
f. Value of collateral, to the nearest cent:
$65,825.67
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2041-02-15
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$216.56
|
f. Value of collateral, to the nearest cent:
$310.14
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2041-02-15
|
|
c. Coupon or yield:
4.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$16,498.75
|
f. Value of collateral, to the nearest cent:
$23,044.47
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2041-02-15
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$51,015.31
|
f. Value of collateral, to the nearest cent:
$73,060.87
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2040-02-15
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,287.18
|
f. Value of collateral, to the nearest cent:
$1,851.58
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2040-02-15
|
|
c. Coupon or yield:
2.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,425.00
|
f. Value of collateral, to the nearest cent:
$3,488.29
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2037-02-15
|
|
c. Coupon or yield:
4.75
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$20,503.43
|
f. Value of collateral, to the nearest cent:
$28,247.15
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2027-02-15
|
|
c. Coupon or yield:
6.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$10,000.00
|
f. Value of collateral, to the nearest cent:
$14,779.17
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2026-02-15
|
|
c. Coupon or yield:
6
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$7,196.87
|
f. Value of collateral, to the nearest cent:
$10,005.34
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2026-02-15
|
|
c. Coupon or yield:
6
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$74,540.31
|
f. Value of collateral, to the nearest cent:
$103,628.49
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2025-02-15
|
|
c. Coupon or yield:
7.625
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,287.81
|
f. Value of collateral, to the nearest cent:
$3,475.95
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2023-02-15
|
|
c. Coupon or yield:
7.125
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,284.37
|
f. Value of collateral, to the nearest cent:
$3,199.46
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2020-02-15
|
|
c. Coupon or yield:
8.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$13,834.68
|
f. Value of collateral, to the nearest cent:
$18,651.32
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-U.S. TREASURY BOND
|
b. Maturity date:
2019-02-15
|
|
c. Coupon or yield:
8.875
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$3.75
|
f. Value of collateral, to the nearest cent:
$4.90
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2029-01-15
|
|
c. Coupon or yield:
2.5
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$11,526.87
|
f. Value of collateral, to the nearest cent:
$16,174.69
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2027-01-15
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$0.31
|
f. Value of collateral, to the nearest cent:
$0.45
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2027-01-15
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$72,628.12
|
f. Value of collateral, to the nearest cent:
$104,990.94
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2026-01-15
|
|
c. Coupon or yield:
2
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$6,466.25
|
f. Value of collateral, to the nearest cent:
$9,118.40
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2026-01-15
|
|
c. Coupon or yield:
2
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$11,968.75
|
f. Value of collateral, to the nearest cent:
$16,877.77
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BDS-TREASURY INFLATION BOND
|
b. Maturity date:
2025-01-15
|
|
c. Coupon or yield:
2.375
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$2,824.06
|
f. Value of collateral, to the nearest cent:
$4,296.46
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BD STRIPPED PRIN PMT-U.S. TREASURY NONCALLABLE STRIP
|
b. Maturity date:
2040-11-15
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$35,050.00
|
f. Value of collateral, to the nearest cent:
$17,068.99
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-10-22
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,125.00
|
f. Value of collateral, to the nearest cent:
$1,124.72
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-09-24
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$7,437.50
|
f. Value of collateral, to the nearest cent:
$7,436.28
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-09-17
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$31,373.12
|
f. Value of collateral, to the nearest cent:
$31,369.45
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-09-10
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,796.87
|
f. Value of collateral, to the nearest cent:
$1,796.67
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-09-03
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$224,727.81
|
f. Value of collateral, to the nearest cent:
$224,703.99
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-08-13
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$58,362.50
|
f. Value of collateral, to the nearest cent:
$58,360.16
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-07-23
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$139,987.81
|
f. Value of collateral, to the nearest cent:
$139,983.61
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-07-02
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$12,798.75
|
f. Value of collateral, to the nearest cent:
$12,798.75
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-06-25
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$39,391.87
|
f. Value of collateral, to the nearest cent:
$39,391.87
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-06-11
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$26,769.68
|
f. Value of collateral, to the nearest cent:
$26,769.41
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-06-04
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$34,104.06
|
f. Value of collateral, to the nearest cent:
$34,103.72
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-05-21
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$15,318.43
|
f. Value of collateral, to the nearest cent:
$15,318.43
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2015-05-07
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$10,371.25
|
f. Value of collateral, to the nearest cent:
$10,371.25
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2016-03-03
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$1,640.93
|
f. Value of collateral, to the nearest cent:
$1,638.72
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2016-02-04
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$937.50
|
f. Value of collateral, to the nearest cent:
$936.32
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |
For repurchase agreements, describe the securities subject to the repurchase agreement, including: |
a. The name of the issuer:
UNITED STATES TREAS BILLS-U.S. TREASURY BILL
|
b. Maturity date:
2016-01-07
|
|
c. Coupon or yield:
0.000
|
d. The category of investments:
Treasury Debt
|
If Other Instrument, include a brief description:
|
|
e. The principal amount, to the nearest cent:
$181.25
|
f. Value of collateral, to the nearest cent:
$181.07
|
If multiple securities of an issuer are subject to the repurchase agreement, the securities may be aggregated, in which case disclose: |
(a) the total principal amount and value and (b) the range of maturity dates and interest rates. |