[X]
|
ANNUAL REPORT PURSUANT TO SECTION 15(d)
|
OF THE SECURITIES EXCHANGE ACT OF 1934
|
[ ]
|
TRANSITION REPORT PURSUANT TO SECTION 15(d)
|
OF THE SECURITIES EXCHANGE ACT OF 1934
|
TABLE OF CONTENTS
|
Page
Number
|
|
Signatures
|
2
|
|
Report of Independent Registered Public Accounting Firm
|
3
|
|
Financial Statements
|
||
Statements of Net Assets Available for Benefits
|
4
|
|
Statements of Changes in Net Assets Available for Benefits
|
5
|
|
Notes to Financial Statements
|
6-17
|
|
Supplemental Schedules
|
||
Schedule of Assets (Held at End of Year)
|
18-47
|
|
Schedule of Assets Acquired and Disposed
|
48
|
|
Schedule of Nonexempt Transaction
|
49
|
|
Exhibits
|
||
Exhibit Index
|
50
|
|
Consent of Independent Registered Public Accounting Firm
|
51
|
2011
|
2010
|
|||||
ASSETS
|
||||||
Investments at Fair Value:
|
||||||
Participant Directed Investments
|
$
|
2,949,303,441
|
$
|
2,917,981,958
|
||
Wrap Contracts
|
456,104
|
914,421
|
||||
TOTAL INVESTMENTS AT FAIR VALUE
|
2,949,759,545
|
2,918,896,379
|
||||
Notes Receivable from Participants
|
74,987,631
|
70,565,226
|
||||
TOTAL ASSETS
|
3,024,747,176
|
2,989,461,605
|
||||
Adjustment from Fair Value to Contract Value for Fully Benefit Responsive Wrap Contracts
|
(6,071,315)
|
8,599,095
|
||||
NET ASSETS AVAILABLE FOR BENEFITS
|
$
|
3,018,675,861
|
$
|
2,998,060,700
|
||
See Notes to Financial Statements.
|
2011
|
2010
|
|||||
INVESTMENT INCOME
|
||||||
Net Appreciation in Fair Value of Investments
|
$
|
17,822,948
|
$
|
231,557,259
|
||
Interest
|
9,625,575
|
18,129,952
|
||||
Dividends
|
18,442,370
|
18,536,936
|
||||
Total Investment Income
|
45,890,893
|
268,224,147
|
||||
CONTRIBUTIONS
|
||||||
Participant
|
142,067,219
|
142,666,064
|
||||
Employer
|
63,376,474
|
60,126,040
|
||||
Total Contributions
|
205,443,693
|
202,792,104
|
||||
DISTRIBUTIONS TO PARTICIPANTS
|
(227,643,846)
|
|
(501,610,461)
|
|||
ADMINISTRATIVE AND MANAGEMENT FEES
|
||||||
Professional Fees
|
(737,977)
|
(864,937)
|
||||
Investment Advisory and Management Fees
|
(5,313,267)
|
(5,282,011)
|
||||
Other Fees
|
(532,758)
|
(564,371)
|
||||
Total Administrative and Management Fees
|
(6,584,002)
|
(6,711,319)
|
||||
INTEREST INCOME ON NOTES RECEIVABLE FROM
PARTICIPANTS
|
3,508,423
|
3,964,757
|
||||
INCREASE (DECREASE) IN NET ASSETS
|
20,615,161
|
(33,340,772)
|
||||
NET ASSETS AVAILABLE FOR BENEFITS BEGINNING OF YEAR
|
2,998,060,700
|
3,031,401,472
|
||||
NET ASSETS AVAILABLE FOR BENEFITS END OF YEAR
|
$
|
3,018,675,861
|
$
|
2,998,060,700
|
||
See Notes to Financial Statements.
|
1. PLAN DESCRIPTION
|
2. ACCOUNTING POLICIES
|
3. PLAN TERMINATION
|
4. INVESTMENT CONTRACTS
|
5. INVESTMENTS EXCEEDING FIVE PERCENT OF THE PLAN’S NET ASSETS
|
December 31,
|
||||||
2011
|
2010
|
|||||
American Electric Power Company, Inc. Common Stock
|
$
|
285,559,258
|
$
|
273,754,334
|
||
Mellon Capital Aggregate Bond Index Fund
|
371,262,961
|
334,693,511
|
||||
Mellon Capital Stock Index Fund
|
423,823,169
|
414,525,878
|
||||
Mellon Capital International Stock Index Fund
|
260,688,324
|
268,420,947
|
||||
JPMorgan Intermediate Bond Fund
|
-
|
738,889,267
|
Years Ended December 31,
|
||||||
2011
|
2010
|
|||||
American Electric Power Company, Inc. - Common Stock
|
$
|
39,332,060
|
$
|
8,111,709
|
||
Common/Collective Trusts
|
681,279
|
141,492,712
|
||||
Corporate Stock
|
(14,985,551)
|
80,920,308
|
||||
Fixed Income Securities
|
2,128,176
|
1,162,278
|
||||
Registered Investment Companies
|
(9,333,016)
|
(129,748)
|
||||
Net Appreciation in Fair Value of Investments
|
$
|
17,822,948
|
$
|
231,557,259
|
7. PARTY-IN-INTEREST TRANSACTIONS
|
Plan Assets within the Fair Value Hierarchy at December 31, 2011
|
||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||
Equities
|
||||||||||||
Corporate Stock – Domestic
|
$
|
442,805,802
|
$
|
-
|
$
|
-
|
$
|
442,805,802
|
||||
AEP Stock
|
285,559,258
|
-
|
-
|
285,559,258
|
||||||||
Subtotal Equities
|
728,365,060
|
-
|
-
|
728,365,060
|
||||||||
Fixed Income
|
||||||||||||
Government Bonds
|
-
|
165,171,072
|
-
|
165,171,072
|
||||||||
Corporate Debt Securities
|
-
|
174,701,942
|
-
|
174,701,942
|
||||||||
Mortgage Backed Securities
|
-
|
406,542,746
|
-
|
406,542,746
|
||||||||
Subtotal Fixed Income
|
-
|
746,415,760
|
-
|
746,415,760
|
||||||||
Common/Collective Trusts
|
||||||||||||
JPMorgan Liquidity Fund
|
-
|
142,411,611
|
-
|
142,411,611
|
||||||||
Mellon Capital Small Cap Stock Index Fund
|
-
|
146,226,734
|
-
|
146,226,734
|
||||||||
Mellon Capital Stock Index Fund
|
-
|
423,823,169
|
-
|
423,823,169
|
||||||||
Mellon Capital International Stock Index Fund
|
-
|
260,688,324
|
-
|
260,688,324
|
||||||||
JPMorgan US Real Estate Securities Fund
|
-
|
12,741,862
|
-
|
12,741,862
|
||||||||
Mellon Capital Aggregate Bond Index Fund
|
-
|
371,262,961
|
-
|
371,262,961
|
||||||||
Mellon Capital Treasury Inflation-Protected Securities Fund
|
-
|
8,878,231
|
-
|
8,878,231
|
||||||||
JPMorgan Strategic Property Fund
|
-
|
-
|
34,096,695
|
34,096,695
|
||||||||
JPMorgan Emerging Markets Fund
|
-
|
-
|
15,195,847
|
15,195,847
|
||||||||
Subtotal Common/Collective Trusts
|
-
|
1,366,032,892
|
49,292,542
|
1,415,325,434
|
||||||||
Registered Investment Companies
|
94,923,728
|
-
|
-
|
94,923,728
|
||||||||
Cash Equivalents
|
-
|
21,875,447
|
-
|
21,875,447
|
||||||||
Wrap Contracts
|
-
|
-
|
456,104
|
456,104
|
||||||||
Accrued Items and Unsettled Trades
|
593,548
|
(58,195,536)
|
-
|
(57,601,988)
|
||||||||
Total Assets Reflecting Investments at Fair Value
|
$
|
823,882,336
|
$
|
2,076,128,563
|
$
|
49,748,646
|
$
|
2,949,759,545
|
Plan Assets within the Fair Value Hierarchy at December 31, 2010
|
||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||
Equities
|
||||||||||||
Corporate Stock – Domestic
|
$
|
494,298,612
|
$
|
-
|
$
|
-
|
$
|
494,298,612
|
||||
AEP Stock
|
273,754,334
|
-
|
-
|
273,754,334
|
||||||||
Subtotal Equities
|
768,052,946
|
-
|
-
|
768,052,946
|
||||||||
Fixed Income
|
||||||||||||
Government Bonds
|
-
|
5,737,733
|
-
|
5,737,733
|
||||||||
Corporate Debt Securities
|
-
|
11,877,637
|
-
|
11,877,637
|
||||||||
Mortgage Backed Securities
|
-
|
15,466,473
|
-
|
15,466,473
|
||||||||
Subtotal Fixed Income
|
-
|
33,081,843
|
-
|
33,081,843
|
||||||||
Common/Collective Trusts
|
||||||||||||
JPMorgan Liquidity Fund
|
-
|
24,945,975
|
-
|
24,945,975
|
||||||||
Mellon Capital Small Cap Stock Index Fund
|
-
|
147,688,138
|
-
|
147,688,138
|
||||||||
Mellon Capital Stock Index Fund
|
-
|
414,525,878
|
-
|
414,525,878
|
||||||||
Mellon Capital International Stock Index Fund
|
-
|
268,420,947
|
-
|
268,420,947
|
||||||||
Alliance Bernstein International Style Blend
|
-
|
63,365,492
|
-
|
63,365,492
|
||||||||
JPMorgan US Real Estate Securities Fund
|
-
|
8,462,572
|
-
|
8,462,572
|
||||||||
JPMorgan Intermediate Bond Fund
|
738,889,267
|
738,889,267
|
||||||||||
Mellon Capital Aggregate Bond Index Fund
|
-
|
334,693,511
|
-
|
334,693,511
|
||||||||
Mellon Capital Treasury Inflation-Protected
Securities Fund
|
-
|
7,671,177
|
-
|
7,671,177
|
||||||||
JPMorgan Strategic Property Fund
|
-
|
-
|
29,191,929
|
29,191,929
|
||||||||
JPMorgan Emerging Markets Fund
|
-
|
-
|
14,787,949
|
14,787,949
|
||||||||
Subtotal Common/Collective Trusts
|
-
|
2,008,662,957
|
43,979,878
|
2,052,642,835
|
||||||||
Registered Investment Companies
|
45,663,725
|
-
|
-
|
45,663,725
|
||||||||
Cash Equivalents
|
-
|
18,561,465
|
-
|
18,561,465
|
||||||||
Wrap Contracts
|
-
|
-
|
914,421
|
914,421
|
||||||||
Accrued Items and Unsettled Trades
|
(7,125)
|
(13,731)
|
-
|
(20,856)
|
||||||||
Total Assets Reflecting Investments at Fair Value
|
$
|
813,709,546
|
$
|
2,060,292,534
|
$
|
44,894,299
|
$
|
2,918,896,379
|
Fair Value Estimated Using Net Asset Value per Share as of December 31, 2011
|
|||||||
Fair Value
|
Redemption Frequency
(If currently eligible)
|
Redemption Notice Period
|
|||||
JPMorgan Liquidity Fund
|
$
|
142,411,611
|
Daily
|
1 Day
|
|||
Mellon Capital Small Cap Stock Index Fund
|
146,226,734
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Stock Index Fund
|
423,823,169
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital International Stock Index Fund
|
260,688,324
|
Daily
|
Trade Date + 1
|
||||
JPMorgan US Real Estate Securities Fund
|
12,741,862
|
Daily
|
1 Day
|
||||
Mellon Capital Aggregate Bond Index Fund
|
371,262,961
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Treasury Inflation-Protected Securities Fund
|
8,878,231
|
Daily
|
Trade Date + 1
|
||||
JPMorgan Strategic Property Fund
|
34,096,695
|
Quarterly
|
45 Days
|
||||
JPMorgan Emerging Markets Fund
|
15,195,847
|
Daily
|
1 Day
|
||||
Total Assets
|
$
|
1,415,325,434
|
Fair Value Estimated Using Net Asset Value per Share as of December 31, 2010
|
|||||||
Fair Value
|
Redemption Frequency
(If currently eligible)
|
Redemption Notice Period
|
|||||
JPMorgan Liquidity Fund
|
$
|
24,945,975
|
Daily
|
1 Day
|
|||
Mellon Capital Small Cap Stock Index Fund
|
147,688,138
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Stock Index Fund
|
414,525,878
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital International Stock Index Fund
|
268,420,947
|
Daily
|
Trade Date + 1
|
||||
Alliance Bernstein International Style Blend
|
63,365,492
|
Daily
|
1-30 Days
|
||||
JPMorgan US Real Estate Securities Fund
|
8,462,572
|
Daily
|
1 Day
|
||||
JPMorgan Intermediate Bond Fund
|
738,889,267
|
Daily
|
1 Day
|
||||
Mellon Capital Aggregate Bond Index Fund
|
334,693,511
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Treasury Inflation-Protected Securities Fund
|
7,671,177
|
Daily
|
Trade Date + 1
|
||||
JPMorgan Strategic Property Fund
|
29,191,929
|
Quarterly
|
45 Days
|
||||
JPMorgan Emerging Markets Fund
|
14,787,949
|
Daily
|
1 Day
|
||||
Total Assets
|
$
|
2,052,642,835
|
Changes in Fair Value Measurements for the Year Ended December 31, 2011
|
||||||||||||
JPMorgan
Strategic
Property
Fund
|
JPMorgan
Emerging
Markets
Fund
|
Wrap
Contracts
|
Total
|
|||||||||
Balance at Beginning of Year
|
$
|
29,191,929
|
$
|
14,787,949
|
$
|
914,421
|
$
|
44,894,299
|
||||
Realized Gains
|
-
|
133,801
|
-
|
133,801
|
||||||||
Unrealized Gains (Losses)
|
5,119,766
|
3,313,297
|
(458,317)
|
7,974,746
|
||||||||
Purchases
|
(215,000)
|
(3,504,200)
|
-
|
(3,719,200)
|
||||||||
Sales
|
-
|
465,000
|
-
|
465,000
|
||||||||
Issuances
|
-
|
-
|
-
|
-
|
||||||||
Settlements
|
-
|
-
|
-
|
-
|
||||||||
Balance at End of Year
|
$
|
34,096,695
|
$
|
15,195,847
|
$
|
456,104
|
$
|
49,748,646
|
Changes in Fair Value Measurements for the Year Ended December 31, 2010
|
|||||||||||||
JPMorgan
Strategic
Property
Fund
|
JPMorgan
Emerging
Markets
Fund
|
Wrap
Contracts
|
Total
|
||||||||||
Balance at Beginning of Year
|
$
|
20,401,736
|
$
|
13,745,305
|
$
|
1,332,221
|
$
|
35,479,262
|
|||||
Realized Gains (Losses)
|
(663,773)
|
633,758
|
-
|
(30,015)
|
|||||||||
Unrealized Gains (Losses)
|
12,716,400
|
(938,904)
|
(417,800)
|
11,359,696
|
|||||||||
Purchases, Sales, Issuances, and Settlements (Net)
|
(3,262,434)
|
1,347,790
|
-
|
(1,914,644)
|
|||||||||
Balance at End of Year
|
$
|
29,191,929
|
$
|
14,787,949
|
$
|
914,421
|
$
|
44,894,299
|
9. RISK AND UNCERTAINITIES
|
10. FEDERAL INCOME TAX
|
11. WORKFORCE REDUCTION
|
12. RECONCILIATION OF FINANCIAL STATEMENTS TO THE FORM 5500
|
January 1,
|
||||||
Participant Loans – Schedule H, Part I, line 1c(8), Column (a)
|
2011
|
2010
|
||||
Beginning Balance per Financial Statements
|
$
|
70,565,226
|
$
|
66,455,396
|
||
Less: Loans Deemed Distributed with No Post-Default Payments
|
(1,474,224)
|
(766,983)
|
||||
Balance Reported on Form 5500
|
$
|
69,091,002
|
$
|
65,688,413
|
December 31,
|
||||||
Participant Loans – Schedule H, Part I, line 1c(8), Column (b)
|
2011
|
2010
|
||||
Ending Balance per Financial Statements
|
$
|
74,987,631
|
$
|
70,565,226
|
||
Less: Assets and Activity Related to Loans Deemed Distributed with No Payments Post-Default
|
(1,695,638)
|
(1,474,224)
|
||||
Balance Reported on Form 5500
|
$
|
73,291,993
|
$
|
69,091,002
|
January 1,
|
||||||
Net Assets – Schedule H, Part I, Line 1l, Column (a)
|
2011
|
2010
|
||||
Beginning Balance per Financial Statements
|
$
|
2,998,060,700
|
$
|
3,031,401,472
|
||
Less: Adjustment from Contract Value to Fair Value
|
(8,599,095)
|
(49,132,012)
|
||||
Less: Loans Deemed Distributed with No Post-Default Payments
|
(1,474,224)
|
(766,983)
|
||||
Beginning Balance Reported on Form 5500
|
$
|
2,987,987,381
|
$
|
2,981,502,477
|
December 31,
|
||||||
Net Assets – Schedule H, Part I, Line 1l, Column (b)
|
2011
|
2010
|
||||
Ending Balance per Financial Statements
|
$
|
3,018,675,861
|
$
|
2,998,060,700
|
||
Less: Adjustment from Contract Value to Fair Value
|
6,071,315
|
(8,599,095)
|
||||
Less: Assets and Activity Related to Loans Deemed Distributed with No Payments Post-Default
|
(1,695,638)
|
(1,474,224)
|
||||
Balance Reported on Form 5500
|
$
|
3,023,051,538
|
$
|
2,987,987,381
|
December 31,
|
||||||
Increase (Decrease) in Net Assets – Schedule H, Part II, Line 2k
|
2011
|
2010
|
||||
Per Financial Statements
|
$
|
20,615,161
|
$
|
(33,340,772)
|
||
Less: Adjustment from Contract Value to Fair Value
|
14,670,410
|
40,532,917
|
||||
Less: Loans Deemed Distributed
|
(221,414)
|
(707,241)
|
||||
Reported on Form 5500
|
$
|
35,064,157
|
$
|
6,484,904
|
AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
|
|||||
SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||
DECEMBER 31, 2011
|
|||||
INVESTMENT CONTRACTS:
|
|||||
Stable Value Wrap
|
|||||
Bank of America
|
|||||
variable annual yield (2.00% at December 31, 2011)
|
|||||
with an indeterminate maturity date
|
$
|
227,966
|
|||
Stable Value Wrap
|
|||||
ING
|
|||||
variable annual yield (2.00% at December 31, 2011)
|
|||||
with an indeterminate maturity date
|
-
|
||||
Stable Value Wrap
|
|||||
IXIS
|
|||||
variable annual yield (2.00% at December 31, 2011)
|
|||||
with an indeterminate maturity date
|
-
|
||||
Stable Value Wrap
|
|||||
State Street Bank
|
|||||
variable annual yield (2.00% at December 31, 2011)
|
|||||
with an indeterminate maturity date
|
228,138
|
||||
Subtotal Wrapper Contracts
|
$
|
456,104
|
|||
Shares
|
Identity of Issuer, Borrower, Lessor or Similar Party
|
Fair Value
|
|||
Common / Collective Trusts
|
|||||
130,244,733
|
JPMCB Liquidity Fund
|
$
|
130,244,733
|
||
Total Common / Collective Trusts
|
$
|
130,244,733
|
|||
Corporate Debt Securities
|
|||||
2,315,000
|
ALTRIA GROUP INC
|
$
|
2,513,157
|
||
1,230,000
|
AMER EXPRESS CREDIT CO
|
1,334,869
|
|||
2,875,000
|
AMERICA MOVIL SAB DE CV
|
2,866,990
|
|||
925,000
|
AMERICAN INTL GROUP
|
875,337
|
|||
2,535,000
|
ANHEUSER-BUSCH INBEV WOR
|
2,733,141
|
|||
415,000
|
AT&T INC AUG 2016
|
423,419
|
|||
1,680,000
|
AT&T INC MAY 2016
|
1,750,790
|
|||
960,000
|
AT&T INC NOV 2013
|
1,058,313
|
|||
2,390,000
|
BANK OF AMERICA CORP MAY 2014
|
2,478,093
|
|||
1,085,000
|
BANK OF AMERICA CORP MAR 2016
|
1,000,132
|
|||
770,000
|
BANK OF AMERICA CORP JUL 2016
|
712,958
|
|||
770,000
|
BANK OF MONTREAL
|
782,279
|
|||
1,245,000
|
BANK OF NOVA SCOTIA
|
1,250,016
|
|||
1,120,000
|
BARCLAYS BANK PLC
|
1,154,518
|
|||
2,020,000
|
BARRICK GOLD CORP
|
2,073,213
|
|||
495,000
|
BAXTER INTERNATIONAL INC
|
498,847
|
|||
1,110,000
|
BHP BILLITON FIN USA LTD
|
1,121,240
|
|||
1,270,000
|
BNP PARIBAS
|
1,191,226
|
|||
2,035,000
|
BRITISH TELECOM PLC
|
2,106,929
|
|||
1,830,000
|
BURLINGTN NORTH SANTA FE
|
1,913,369
|
|||
2,200,000
|
CANADIAN IMPERIAL BANK
|
2,199,949
|
|||
950,000
|
CANADIAN NATL RESOURCES
|
955,534
|
|||
1,275,000
|
CANADIAN PACIFIC RR CO
|
1,494,969
|
|||
1,515,000
|
CAPITAL ONE FINANCIAL CO MAY 2014
|
1,664,549
|
|||
580,000
|
CAPITAL ONE FINANCIAL CO JUL 2016
|
582,482
|
1,820,000
|
CATERPILLAR FINANCIAL SE AUG 2016
|
1,868,323
|
|||
740,000
|
CATERPILLAR FINANCIAL SE DEC 2014
|
740,920
|
|||
3,290,000
|
CISCO SYSTEMS INC
|
3,351,661
|
|||
4,320,000
|
CITIGROUP INC DEC 2013
|
4,470,159
|
|||
700,000
|
CITIGROUP INC DEC 2015
|
704,478
|
|||
1,870,000
|
CITIGROUP INC JUN 2016
|
1,863,554
|
|||
1,115,000
|
COCA-COLA CO/THE
|
1,134,124
|
|||
2,000,000
|
COVIDIEN INTL FINANCE SA
|
2,076,210
|
|||
1,400,000
|
CR BARD INC
|
1,464,484
|
|||
1,280,000
|
CREDIT SUISSE NEW YORK
|
1,266,962
|
|||
1,340,000
|
CVS CAREMARK CORP
|
1,412,829
|
|||
2,465,000
|
DAIMLER FINANCE NA LLC
|
2,684,871
|
|||
1,550,000
|
DCP MIDSTREAM OPERATING
|
1,564,229
|
|||
945,000
|
DEUTSCHE BANK AG LONDON
|
961,325
|
|||
2,470,000
|
DIRECTV HOLDINGS/FING
|
2,546,382
|
|||
915,000
|
DOMINION RESOURCES INC
|
936,437
|
|||
830,000
|
ECOLAB INC
|
858,560
|
|||
1,765,000
|
ENTERPRISE PRODUCTS OPER
|
1,933,852
|
|||
1,175,000
|
EXPRESS SCRIPTS HOLDING
|
1,196,685
|
|||
1,015,000
|
EXPRESS SCRIPTS HOLDING MAY 2016
|
1,020,626
|
|||
4,530,000
|
GENERAL ELEC CAP CORP NOV 2015
|
4,550,254
|
|||
760,000
|
GENERAL ELEC CAP CORP JAN 2014
|
771,377
|
|||
1,205,000
|
GEORGIA POWER COMPANY
|
1,277,695
|
|||
1,015,000
|
GILEAD SCIENCES INC
|
1,033,278
|
|||
1,815,000
|
GOLDMAN SACHS GROUP INC MAY 2014
|
1,883,995
|
|||
1,095,000
|
GOLDMAN SACHS GROUP INC FEB 2016
|
1,058,014
|
|||
1,290,000
|
HCP INC
|
1,288,124
|
|||
2,770,000
|
HEWLETT-PACKARD CO
|
2,789,540
|
|||
985,000
|
HSBC FINANCE CORP JAN 2014
|
907,376
|
|||
3,525,000
|
HSBC FINANCE CORP MAY 2012
|
3,590,724
|
|||
1,550,000
|
IBM CORP
|
1,567,622
|
|||
1,285,000
|
JOHN DEERE CAPITAL CORP
|
1,298,929
|
|||
1,270,000
|
LG&E & KU ENERGY LLC
|
1,250,794
|
|||
1,185,000
|
LLOYDS TSB BANK PLC
|
1,154,882
|
|||
510,000
|
MATTEL INC
|
513,278
|
|||
745,000
|
MCKESSON CORP
|
788,451
|
|||
1,270,000
|
METLIFE INC
|
1,287,720
|
|||
1,615,000
|
MORGAN STANLEY JUL 2015
|
1,514,469
|
|||
370,000
|
MORGAN STANLEY JUL 2014
|
348,452
|
|||
2,940,000
|
MORGAN STANLEY MAY 2014
|
2,968,562
|
|||
985,000
|
NATIONWIDE HEALTH PPTYS
|
1,057,740
|
|||
2,095,000
|
NBCUNIVERSAL MEDIA LLC
|
2,211,208
|
|||
745,000
|
NORDSTROM INC
|
835,394
|
|||
1,640,000
|
ONEOK PARTNERS LP
|
1,688,123
|
|||
1,235,000
|
PHILIP MORRIS INTL INC
|
1,277,032
|
|||
2,000,000
|
PLAINS ALL AMER PIPELINE SEP 2012
|
2,040,130
|
|||
1,215,000
|
PLAINS ALL AMER PIPELINE SEP 2015
|
1,286,610
|
|||
1,475,000
|
PNC FUNDING CORP
|
1,501,513
|
|||
3,445,000
|
PRUDENTIAL FINANCIAL INC
|
3,705,290
|
|||
780,000
|
RABOBANK NEDERLAND OCT 2015
|
764,322
|
|||
1,525,000
|
RABOBANK NEDERLAND JAN 2014
|
1,517,149
|
|||
735,000
|
RIO TINTO FIN USA LTD
|
748,597
|
|||
1,125,000
|
ROGERS COMMUNICATIONS IN
|
1,240,461
|
2,765,000
|
ROYAL BANK OF CANADA
|
2,779,353
|
|||
745,000
|
ROYAL BK OF SCOTLAND PLC
|
712,356
|
|||
825,000
|
SANOFI
|
831,404
|
|||
2,120,000
|
SHELL INTERNATIONAL FIN
|
2,272,937
|
|||
2,020,000
|
SVENSKA HANDELSBANKEN AB
|
2,031,615
|
|||
1,185,000
|
TARGET CORP
|
1,193,704
|
|||
1,465,000
|
TELECOM ITALIA CAPITAL
|
1,359,819
|
|||
1,275,000
|
TELEFONICA EMISIONES SAU
|
1,222,697
|
|||
930,000
|
TEVA PHARMACEUT FIN BV
|
945,892
|
|||
1,700,000
|
TEXAS INSTRUMENTS INC
|
1,721,158
|
|||
1,350,000
|
TORONTO-DOMINION BANK
|
1,376,841
|
|||
1,740,000
|
UBS AG STAMFORD CT
|
1,735,215
|
|||
745,000
|
UNITEDHEALTH GROUP INC
|
791,238
|
|||
1,000,000
|
VALE OVERSEAS LIMITED
|
1,101,601
|
|||
1,000,000
|
VENTAS REALTY LP/CAP CRP
|
977,893
|
|||
1,240,000
|
VERIZON COMMUNICATIONS APR 2016
|
1,298,516
|
|||
1,675,000
|
VERIZON COMMUNICATIONS MAR 2014
|
1,709,599
|
|||
1,570,000
|
VERIZON COMMUNICATIONS NOV 2016
|
1,574,448
|
|||
1,795,000
|
VF CORP
|
1,798,075
|
|||
1,355,000
|
WAL-MART STORES INC
|
1,448,228
|
|||
1,165,000
|
WATSON PHARMACEUTICALS I
|
1,370,098
|
|||
2,660,000
|
WELLS FARGO & COMPANY
|
2,779,695
|
|||
1,595,000
|
WESTPAC BANKING CORP
|
1,662,363
|
|||
2,260,000
|
WILLIAMS PARTNERS LP
|
2,372,532
|
|||
360,000
|
WPP FINANCE 2010
|
357,377
|
|||
490,000
|
XEROX CORPORATION MAR 2016
|
548,279
|
|||
1,840,000
|
XEROX CORPORATION MAY 2014
|
2,076,221
|
|||
Total Corporate Debt Securities
|
$
|
162,559,249
|
|||
Government Bonds
|
|||||
145,000
|
TREASURY BILL MAR 2012
|
$
|
144,994
|
||
100,000
|
TREASURY BILL FEB 2012
|
99,999
|
|||
9,395,000
|
US TREASURY N/B APR 2015
|
10,026,231
|
|||
25,160,000
|
US TREASURY N/B MAY 2015
|
26,561,487
|
|||
9,355,000
|
US TREASURY N/B JUN 2015
|
9,802,281
|
|||
27,155,000
|
US TREASURY N/B OCT 2013
|
27,272,744
|
|||
8,410,000
|
US TREASURY N/B MAY 2014
|
8,549,286
|
|||
18,325,000
|
US TREASURY N/B AUG 2016
|
18,525,439
|
|||
2,290,000
|
US TREASURY N/B SEP 2016
|
2,313,614
|
|||
39,445,000
|
US TREASURY N/B NOV 2013
|
39,449,615
|
|||
13,200,000
|
US TREASURY N/B DEC 2014
|
13,156,691
|
|||
Total Government Bonds
|
$
|
155,902,381
|
|||
Mortgage Backed Securities
|
|||||
19,300,000
|
FNCI 3 1/12
|
$
|
19,930,265
|
||
17,800,000
|
FNCI 3.5 1/12
|
18,612,125
|
|||
12,520,000
|
FNCI 4 1/12
|
13,202,731
|
|||
11,600,000
|
FNCI 5 1/12
|
12,473,625
|
|||
10,000,000
|
FANNIE MAE
|
10,129,770
|
|||
6,000,000
|
FREDDIE MAC MAY 2016
|
6,354,450
|
|||
10,000,000
|
FREDDIE MAC JUL 2014
|
10,107,220
|
|||
8,025,000
|
FREDDIE MAC AUG 2014
|
8,103,107
|
|||
4,980,000
|
BMWOT 2011-A A3
|
4,972,115
|
3,320,000
|
BSCMS 2006-PW12 A4
|
3,703,331
|
|||
1,385,000
|
BSCMS 2006-PW11 A4
|
1,535,417
|
|||
5,600,000
|
CGCMT 2004-C2 A5
|
5,966,106
|
|||
3,718,397
|
COMM 2004-LB2A A4
|
3,909,583
|
|||
6,347,105
|
FG G11773
|
6,815,470
|
|||
1,445,393
|
FG G13072
|
1,552,801
|
|||
4,218,506
|
FG J12243
|
4,428,656
|
|||
2,788,400
|
FG J12387
|
3,000,529
|
|||
4,587,789
|
FG J13139
|
4,816,336
|
|||
4,411,323
|
FG J13885
|
4,602,007
|
|||
5,040,799
|
FG J15655
|
5,258,694
|
|||
4,231,839
|
FG J15660
|
4,447,943
|
|||
4,366,850
|
FN 254916
|
4,795,501
|
|||
3,779,107
|
FN AH0973
|
3,986,853
|
|||
9,981,375
|
FN AH1231
|
10,447,233
|
|||
5,625,444
|
FN AI2067
|
5,888,000
|
|||
4,140,889
|
FN AI2999
|
4,334,156
|
|||
5,763,848
|
FN AI5529
|
6,087,905
|
|||
7,356,940
|
FN AI6698
|
7,700,309
|
|||
19,112,627
|
FN AJ1445
|
20,187,185
|
|||
863,401
|
FN AJ2329
|
903,698
|
|||
4,800,000
|
FHR 2682 LC
|
5,114,228
|
|||
3,400,000
|
FHR 2827 TE
|
3,642,681
|
|||
985,000
|
FHR 2864 LE
|
1,046,949
|
|||
3,176,418
|
FHR 2992 JP
|
3,364,937
|
|||
5,836,698
|
FN 709829
|
6,339,040
|
|||
12,934,484
|
FN 889673
|
13,966,390
|
|||
2,143,234
|
FN AB1066
|
2,261,053
|
|||
2,434,427
|
FN AD0466
|
2,603,629
|
|||
8,363,457
|
FN AE0126
|
9,033,302
|
|||
4,676,440
|
FN AE9810
|
4,975,895
|
|||
4,065,000
|
FORDO 2011-A A3
|
4,073,547
|
|||
2,810,000
|
FORDO 2011-B A3
|
2,808,420
|
|||
4,725,202
|
GN 763535
|
5,076,508
|
|||
5,500,000
|
GMACC 2003-C1 A2
|
5,618,828
|
|||
5,000,000
|
GECMC 2004-C2 A4
|
5,278,385
|
|||
1,562,889
|
GNR 2009-72 LA
|
1,630,184
|
|||
823,644
|
GNR 2009-69 L
|
875,951
|
|||
1,760,946
|
GNR 2009-70 WG
|
1,812,041
|
|||
3,168,282
|
GNR 2009-108 WG
|
3,334,044
|
|||
6,252,936
|
GNR 2010-91 GA
|
6,607,136
|
|||
3,250,084
|
GNR 2009-127 PL
|
3,464,980
|
|||
1,067,337
|
GNR 2010-45 YQ
|
1,106,001
|
|||
1,184,832
|
GNR 2010-32 AK
|
1,256,177
|
|||
1,430,000
|
GCCFC 2003-C2 A4
|
1,495,877
|
|||
3,675,000
|
GCCFC 2005-GG3 A3
|
3,715,598
|
|||
1,715,000
|
HDMOT 2011-1 A2A
|
1,712,297
|
|||
5,390,000
|
HAROT 2011-3 A3
|
5,390,640
|
|||
4,525,000
|
HART 2011-C A3
|
4,512,632
|
|||
8,310,000
|
LBUBS 2005-C5 A4
|
9,071,553
|
|||
5,240,000
|
LBUBS 2003-C5 A4
|
5,444,821
|
|||
2,765,000
|
MBART 2011-1 A3
|
2,767,154
|
|||
8,884,000
|
MLMT 2005-CKI1 A6
|
9,837,635
|
|||
1,750,000
|
NALT 2011-A A2A
|
1,747,819
|
|||
2,035,000
|
NALT 2011-A A2B | 2,035,625 | |||
5,570,000
|
NAROT 2011-B A2
|
5,571,213 |
7,190,000
|
TAOT 2011-B A3
|
7,156,792
|
|||
3,435,000
|
VWALT 2011-A A2
|
3,435,037
|
|||
3,015,000
|
WBCMT 2005-C21 A4
|
3,304,714
|
|||
4,000,000
|
WBCMT 2005-C17 A4
|
4,337,472
|
|||
4,000,000
|
WBCMT 2005-C18 A4
|
4,346,756
|
|||
730,000
|
WBCMT 2006-C25 A5
|
809,944
|
|||
Total Mortgage Backed Securities
|
$
|
390,237,006
|
|||
Net Assets Pending Settlement
|
$
|
(61,388,396)
|
|||
Subtotal Stable Value
|
$
|
777,554,973
|
|||
TOTAL - INVESTMENT CONTRACTS
|
778,011,077
|
||||
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE
|
(6,071,315)
|
||||
TOTAL - INVESTMENT CONTRACTS AT CONTRACT VALUE
|
$
|
771,939,762
|
AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
|
|||
SCHEDULE OF ASSETS (HELD AT END OF YEAR (continued))
|
|||
DECEMBER 31, 2011
|
|||
Shares
|
Identity of Issuer, Borrower, Lessor or Similar Party
|
Fair Value
|
|
Cash Equivalents
|
|||
21,875,447
|
Cash
|
$
|
21,875,447
|
Total Cash Equivalents
|
$
|
21,875,447
|
|
Common / Collective Trusts
|
|||
318,626
|
JPMCB US Real Estate Securities Fund
|
12,741,862
|
|
3,063,327
|
EB Daily Liquidity Non SL Aggregate Bond Index Fund
|
371,262,961
|
|
2,748,514
|
EB Daily Liquidity Non SL International Stock Index Fund
|
260,688,324
|
|
1,182,911
|
EB Daily Liquidity Non SL Small Cap Stock
|
146,226,734
|
|
3,503,018
|
EB Daily Liquidity Non SL Stock Index Fund
|
423,823,169
|
|
75,580
|
EB DL Non SL Treasury Inflation Protected Securities Fund
|
8,878,231
|
|
999,069
|
JPMCB Emerging Markets - Equity Focused
|
15,195,847
|
|
20,364
|
JPMCB Strategic Property Fund
|
34,096,695
|
|
12,166,878
|
JPMCB Liquidity Fund
|
12,166,878
|
|
Total Common / Collective Trusts
|
$
|
1,285,080,701
|
|
AEP Stock
|
|||
6,912,594
|
American Electric Power Company, Inc. Common Stock $6.50 par value
|
$
|
285,559,258
|
Total AEP Stock
|
$
|
285,559,258
|
|
Corporate Stock
|
|||
6,400
|
3M CO COM STK USD0.01
|
$
|
523,072
|
5,950
|
AARON'S INC CLASS'A'COM VTG USD0.5
|
158,835
|
|
27,500
|
ABB LTD ADR EACH REPR I CHF2.50(SPON)
|
517,825
|
|
15,500
|
ABBOTT LABS COM NPV
|
871,565
|
|
7,805
|
ABM INDUSTRIES INC COM STK USD0.01
|
160,939
|
|
23,700
|
ACCENTURE PLC CLS'A'USD0.0000225
|
1,261,551
|
|
8,700
|
ACE LIMITED CHF30.57
|
610,044
|
|
11,775
|
ACTUANT CORP CLS'A' COM STK USD0.20
|
267,175
|
|
8,200
|
ADVANCE AUTO PARTS INC COM STK USD0.0001
|
571,458
|
|
19,900
|
ADVANCE AUTO PARTS INC COM STK USD0.0001
|
1,386,747
|
|
18,045
|
AEGION CORP USD0.01
|
276,810
|
|
7,070
|
AEROPOSTALE INC COM STK USD0.01
|
107,818
|
|
20,800
|
AETNA INC NEW COM STK USD0.001
|
877,552
|
|
6,000
|
AFC ENTERPRISES INC USD0.01
|
88,200
|
|
3,270
|
AFFILIATED MANAGERS GROUP INC COM STK USD0.01
|
313,757
|
|
40,600
|
AFLAC INC COM STK USD0.10
|
1,756,356
|
|
50,373
|
AGILENT TECHNOLOGIES INC COM STK USD0.01
|
1,759,529
|
|
31,000
|
AGILENT TECHNOLOGIES INC COM STK USD0.01
|
1,082,830
|
|
10,100
|
AGRIUM INC COM NPV
|
680,084
|
|
4,400
|
AIR METHODS CORP COM STK USD0.06
|
371,580
|
|
3,000
|
AIR PRODUCTS & CHEMICALS INC COM STK USD1
|
257,310
|
|
28,800
|
ALCOA INC COM STK USD1
|
249,120
|
|
800
|
ALEXANDRIA REAL ESTATE EQUITIES INC COM STK
|
55,568
|
|
9,698
|
ALEXION PHARMACEUTICAL INC COM NPV USD0.001
|
693,407
|
|
4,490
|
ALLEGHENY TECHNOLOGIES INC COM STK USD0.10
|
214,622
|
|
31,352
|
ALLERGAN INC COM STK USD0.01
|
2,750,824
|
|
12,000
|
ALLIANCE DATA SYSTEM COM STK USD0.01
|
1,246,080
|
|
12,100
|
ALLIANCE DATA SYSTEM COM STK USD0.01
|
1,256,464
|
|
52,600
|
ALLSCRIPTS HEALTHCARE SOLUTIONS INC COM STK
|
996,244
|
|
30,400
|
ALLSTATE CORP COM STK USD0.01
|
839,648
|
|
38,000
|
ALPHA NATURAL RESOURCES COM STK USD0.01
|
776,340
|
|
37,313
|
ALTERA CORP COM STK USD0.001
|
1,384,312
|
|
10,800
|
ALTERA CORP COM STK USD0.001
|
400,680
|
|
9,230
|
ALTERRA CAPITAL HLDGS LTD USD0.01
|
218,105
|
|
6,000
|
ALTERRA CAPITAL HLDGS LTD USD0.01
|
141,780
|
|
31,954
|
AMAZON COM INC COM STK USD0.01
|
5,531,237
|
|
12,575
|
AMC NETWORKS INC USD0.01
|
472,569
|
|
18,300
|
AMEREN CORP COM STK USD0.01
|
606,279
|
|
22,785
|
AMERICAN EAGLE OUTFITTER COM STK USD0.01
|
350,889
|
35,528
|
AMERICAN EXPRESS CO COM USD0.20
|
1,675,856
|
|
10,457
|
AMERICAN GREETINGS CORP COM STK CLASS'A'USD1
|
132,386
|
|
43,359
|
AMERICAN TOWER CORP CLASS'A' COM USD0.01
|
2,601,974
|
|
12,500
|
AMERIPRISE FINANCIAL INC COM STK USD0.01
|
620,500
|
|
36,400
|
AMERIPRISE FINANCIAL INC COM STK USD0.01
|
1,806,896
|
|
22,400
|
AMERISOURCEBERGEN CORP COM STK NPV
|
833,056
|
|
14,400
|
AMGEN INC COM STK USD0.0001
|
924,624
|
|
30,900
|
AMPHENOL CORP CLASS'A'COM STK USD0.001
|
1,402,962
|
|
4,380
|
AMSURG CORP COM STK NPV
|
114,055
|
|
21,613
|
ANADARKO PETROLEUM CORP COM STK USD0.10
|
1,649,720
|
|
26,200
|
ANN INC USD0.0068
|
649,236
|
|
29,550
|
ANWORTH MORTGAGE ASSET CORP COM STK USD0.01
|
191,780
|
|
13,595
|
APOLLO INVESTMENT CORP COM STK USD0.001
|
91,358
|
|
21,098
|
APPLE INC COM STK NPV
|
8,544,690
|
|
3,300
|
APPLE INC COM STK NPV
|
1,336,500
|
|
12,367
|
APTARGROUP INC COM STK USD0.01
|
645,186
|
|
8,700
|
ARCHER DANIELS MIDLAND CO COM STK NPV
|
248,820
|
|
27,995
|
ARES CAPITAL CORP COM STK USD0.001
|
432,523
|
|
6,119
|
ARGO GROUP INTL HLDGS COM STK USD0.01
|
177,206
|
|
15,859
|
ARM HLDGS ADS EACH REP 3 ORD
|
438,819
|
|
57,700
|
ARRIS GROUP INC COM STK USD0.01
|
624,314
|
|
31,100
|
ARROW ELECTRONICS INC COM STK USD1
|
1,163,451
|
|
24,135
|
ARROW ELECTRONICS INC COM STK USD1
|
902,890
|
|
16,160
|
ASBURY AUTOMOTIVE GROUP INC COM STK USD0.01
|
348,410
|
|
15,355
|
ASCENA RETAIL GROUP INC USD0.05
|
456,351
|
|
3,275
|
ASHLAND INC COM STK USD1
|
187,199
|
|
32,500
|
ASML HOLDING NV EUR0.09(NY REG)
|
1,358,175
|
|
7,600
|
ASPEN INSURANCE HLDGS COM STK USD0.15144558
|
201,400
|
|
15,000
|
ASSURANT INC COM STK USD0.01
|
615,900
|
|
4,460
|
ASSURANT INC COM STK USD0.01
|
183,128
|
|
4,100
|
ASSURANT INC COM STK USD0.01
|
168,346
|
|
88,800
|
ASSURED GUARANTY LTD COM STK USD0.01
|
1,166,832
|
|
18,800
|
ASTRAZENECA PLC ADR EACH REP 1 ORD USD0.25(MGT)
|
870,252
|
|
35,951
|
ATMEL CORP COM STK USD0.001
|
291,203
|
|
228,593
|
ATMEL CORP COM STK USD0.001
|
1,851,603
|
|
24,800
|
ATWOOD OCEANICS INC COM STK USD1
|
986,792
|
|
10,000
|
AUTOLIV INC COM STK USD1
|
534,900
|
|
2,055
|
AUTOLIV INC COM STK USD1
|
109,922
|
|
1,800
|
AUTOZONE INC COM STK USD0.01
|
584,946
|
|
47,133
|
AVAGO TECHNOLOGIES LTD NPV
|
1,360,258
|
|
18,900
|
AVERY DENNISON CORP COM STK USD1
|
542,052
|
|
41,700
|
AVNET INC COM STK USD1
|
1,296,453
|
|
18,925
|
AVNET INC COM STK USD1
|
588,378
|
|
6,730
|
AXIS CAPITAL HLDGS COM STK USD0.0125
|
216,706
|
|
20,481
|
BAIDU INC ADR EACH REPR 0.10 SHARE A
|
2,385,422
|
|
12,153
|
BAKER HUGHES INC COM STK USD1
|
591,122
|
|
7,100
|
BALL CORP COM STK NPV
|
253,541
|
|
13,700
|
BALL CORP COM STK NPV
|
489,227
|
|
15,817
|
BANK OF HAWAII CORP COM STK USD2
|
703,698
|
|
30,956
|
BAYERISCHE MOTOREN WERKE AG ADR EACH REPR 0.333
|
688,152
|
|
12,632
|
BBCN BANCORP INC
|
119,372
|
|
19,700
|
BE AEROSPACE INC COM STK USD0.01
|
762,587
|
|
9,760
|
BEACON ROOFING SUPPLY INC COM STK USD0.01 CLS'A'
|
197,445
|
|
25,606
|
BED BATH AND BEYOND COM STK USD0.01
|
1,484,380
|
|
9,200
|
BED BATH AND BEYOND COM STK USD0.01
|
533,324
|
|
3,000
|
BEL FUSE INC CLASS'B'SHS USD0.1
|
56,250
|
|
31,200
|
BELDEN INC COM STK USD0.01
|
1,040,056
|
|
6,455
|
BELDEN INC COM STK USD0.01
|
215,145
|
|
5,100
|
BELDEN INC COM STK USD0.01
|
169,983
|
|
61,800
|
BELO CORP CLASS'A'COM STK USD1.67
|
389,340
|
|
19,500
|
BEMIS CO INC COM STK USD0.10
|
586,560
|
|
3,200
|
BERRY PETROLEUM CORP CLASS'A'COM STK USD0.01
|
134,464
|
|
11,800
|
BILL BARRETT CORP COM NPV
|
402,026
|
|
9,500
|
BIOMED REALTY TRUST INC COM STK USD0.01
|
173,660
|
|
6,000
|
BLACK BOX CORP COM STK USD0.001
|
168,660
|
15,900
|
BMC SOFTWARE INC COM STK USD0.01
|
521,202
|
|
17,656
|
BOEING CO COM STK USD5
|
1,295,068
|
|
25,123
|
BORG-WARNER INC COM STK USD0.01
|
1,601,340
|
|
17,900
|
BP AMOCO P.L.C ADR-EACH CNV INTO 6 ORD USD0.25
|
765,046
|
|
8,900
|
BRADY CORP 'A'NON.V USD0.01
|
280,973
|
|
20,100
|
BRINK'S COMPANY BRINKS GROUP COM USD1
|
540,288
|
|
9,610
|
BRINK'S COMPANY BRINKS GROUP COM USD1
|
258,317
|
|
48,911
|
BRISTOL-MYERS SQUIBB CO COM STK USD0.10
|
1,723,624
|
|
24,400
|
BRISTOL-MYERS SQUIBB CO COM STK USD0.10
|
859,856
|
|
5,615
|
BRISTOW GROUP INC COM STK USD0.01
|
266,095
|
|
43,840
|
BROADCOM CORP CLASS'A'COM STK USD0.0001
|
1,287,142
|
|
15,600
|
BROOKFIELD RESIDENTIAL PPTYS INC USD0.01
|
121,836
|
|
47,300
|
BROOKS AUTOMATION INC
|
485,771
|
|
37,900
|
BRUNSWICK CORP COM STK USD0.75
|
684,474
|
|
36,950
|
BUCKLE COM STK USD0.05
|
1,510,147
|
|
4,400
|
BUNGE LTD COM STK USD0.01
|
251,680
|
|
36,424
|
BURBERRY GROUP SPON ADR EACH REP 2 ORD
|
1,356,579
|
|
61,900
|
CA INC COM STK USD0.10
|
1,251,309
|
|
50,500
|
CABLEVISION SYSTEMS CORP NY GROUP COM STK USD0.01
|
718,110
|
|
6,959
|
CABOT CORP COM STK USD1
|
223,662
|
|
3,400
|
CACI INTL INC CLASS A COM
|
190,128
|
|
91,600
|
CAE INC COM NPV
|
888,520
|
|
13,565
|
CALLAWAY GOLF CO COM STK USD0.01
|
75,014
|
|
9,700
|
CAMBREX CORP COM STK USD0.10
|
69,646
|
|
60,800
|
CAMECO CORP COM NPV
|
1,103,404
|
|
22,200
|
CAMERON INTERNATIONAL CORP COM STK USD0.01
|
1,092,018
|
|
6,619
|
CAMPUS CREST COMMUNITIES INC USD0.01
|
67,646
|
|
14,100
|
CAPITAL ONE FINANCIAL CORP COM STK USD0.01
|
596,289
|
|
11,430
|
CAPSTEAD MTGE.CORP COM STK USD0.01
|
147,104
|
|
15,600
|
CAPSTEAD MTGE.CORP COM STK USD0.01
|
200,772
|
|
20,400
|
CARDINAL HEALTH INC COM STK NPV
|
832,830
|
|
19,300
|
CARLISLE COS INC COM STK USD1
|
854,990
|
|
23,700
|
CARLISLE COS INC COM STK USD1
|
1,049,910
|
|
2,700
|
CASCADE CORP COM STK USD0.50
|
128,034
|
|
6,400
|
CATAHY GENERAL BANCORP COM STK USD0.01
|
95,552
|
|
4,850
|
CATO CORP CLASS'A'COM STK USD0.03 1/3
|
118,486
|
|
22,200
|
CBS CORP CLASS'B' COM STK USD0.001
|
605,524
|
|
6,300
|
CEC ENTERTAINMENT COM STK USD0.10
|
218,421
|
|
5,649
|
CELANESE CORP COM STK USD0.0001 CLS'A'
|
250,081
|
|
23,000
|
CELANESE CORP COM STK USD0.0001 CLS'A'
|
1,018,210
|
|
42,510
|
CELGENE CORP COM STK USD0.01
|
2,873,676
|
|
6,310
|
CENTENE CORP(DEL) COM STK USD0.001
|
249,813
|
|
1,800
|
CF INDUSTRIES HOLDINGS INC COM STK USD0.01
|
260,964
|
|
9,376
|
CH ROBINSON WORLDWIDE INC COM STK USD0.10
|
657,351
|
|
29,740
|
CHARMING SHOPPES INC COM STK USD0.10
|
145,726
|
|
5,385
|
CHATHAM LODGING TRUST USD0.01
|
58,993
|
|
8,553
|
CHECKPOINT SYSTEMS COM STK USD0.10
|
93,570
|
|
7,300
|
CHEVRON CORP COM STK USD0.75
|
776,720
|
|
12,608
|
CHICAGO BRIDGE & IRON CO N.V. EUR0.01 (REG)
|
476,582
|
|
22,600
|
CHICOS FAS INC COM STK USD0.01
|
251,764
|
|
12,600
|
CHICOS FAS INC COM STK USD0.01
|
140,364
|
|
2,900
|
CHILDRENS PLACE RETAIL STORE INC COM STK USD0.10
|
154,048
|
|
6,625
|
CHILDRENS PLACE RETAIL STORE INC COM STK USD0.10
|
351,920
|
|
6,154
|
CHIPOTLE MEXICAN GRILL COM STK USD0.01
|
2,078,452
|
|
9,000
|
CHUBB CORP COM STK USD1
|
626,490
|
|
2,758
|
CIBER INC COM STK USD0.01
|
10,646
|
|
20,500
|
CIGNA CORP COM STK USD0.25
|
861,000
|
|
324,500
|
CINCINNATI BELL NC USD0.01
|
983,235
|
|
4,100
|
CLIFFS NATURAL RESOURCES INC COM STK USD0.125
|
255,635
|
|
12,700
|
CLIFFS NATURAL RESOURCES INC COM STK USD0.125
|
791,845
|
|
24,559
|
COACH INC COM STK USD0.01
|
1,504,607
|
|
3,300
|
COACH INC COM STK USD0.01
|
202,265
|
|
19,000
|
COGNEX CORP COM STK USD0.002
|
680,010
|
|
15,700
|
COINSTAR INC COM STK USD0.001
|
716,548
|
|
4,565
|
COLONY FINANCIAL INC USD0.01
|
73,268
|
396
|
COLONY FINANCIAL INC USD0.01
|
6,356
|
|
5,210
|
COLUMBIA BANKING SYSTEMS INC COM STK NPV
|
100,397
|
|
6,390
|
COMERICA INC COM STK USD5
|
165,501
|
|
1,735
|
COMMERCE BANCSHARES INC COM STK USD5
|
66,138
|
|
31,510
|
COMPUTER SCIENCES CORP COM STK USD1
|
753,089
|
|
11,589
|
COMSTOCK RESOURCES INC COM STK USD0.50
|
177,312
|
|
15,857
|
COMTECH TELECOMMUNICATIONS COM STK USD0.10
|
453,827
|
|
10,900
|
CONOCOPHILLIPS COM STK USD1.25
|
794,283
|
|
48,600
|
CONVERGYS CORP COM STK NPV
|
620,622
|
|
5,100
|
CORN PRODUCTS INTERNATIONAL INC COM STK USD0.01
|
269,229
|
|
29,812
|
COSTCO WHOLESALE CORP COM STK USD0.005
|
2,483,936
|
|
5,902
|
COVANCE INC COM STK USD0.01
|
269,839
|
|
11,145
|
COVANTA HOLDING CORP
|
153,411
|
|
2,769
|
CRA INTERNATIONAL INC COM
|
54,937
|
|
5,400
|
CUMMINS INC COM STK USD2.50
|
475,308
|
|
10,000
|
CUMMINS INC COM STK USD2.50
|
880,200
|
|
24,300
|
CUMMINS INC COM STK USD2.50
|
2,138,886
|
|
8,405
|
CURTISS-WRIGHT CORP COM STK USD1
|
296,949
|
|
12,111
|
CVB FINANCIAL NPV
|
121,473
|
|
48,460
|
CYS INVESTMENTS INC USD0.01
|
636,764
|
|
11,466
|
CYS INVESTMENTS INC USD0.01
|
150,663
|
|
29,600
|
DANA HOLDING CORP USD0.01
|
359,640
|
|
9,600
|
DARDEN RESTAURANTS INC COM STK NPV
|
437,568
|
|
2,455
|
DAVITA INC COM STK USD0.001
|
186,114
|
|
6,300
|
DECKERS OUTDOOR CORP COM STK USD0.01
|
476,091
|
|
8,200
|
DECKERS OUTDOOR CORP COM STK USD0.01
|
619,674
|
|
83,600
|
DELL INC COM STK USD0.01
|
1,223,068
|
|
5,000
|
DELPHI FINANCIAL GROUP INC CLASS'A'COM STK USD0.01
|
221,500
|
|
13,600
|
DIANA SHIPPING INC COM STK USD0.01
|
101,728
|
|
15,400
|
DIEBOLD INC COM STK USD1.25
|
463,078
|
|
5,060
|
DIEBOLD INC COM STK USD1.25
|
152,154
|
|
13,500
|
DIRECTV USD0.01
|
577,260
|
|
24,600
|
DISCOVER FINANCIAL SERVICES COM STK USD0.01
|
592,860
|
|
49,150
|
DISCOVERY COMMUNICATIONS INC CLS 'C' USD0.01
|
1,852,955
|
|
32,870
|
DOLE FOOD CO INC USD0.001
|
284,326
|
|
6,800
|
DOLLAR TREE INC COM STK USD0.01
|
565,148
|
|
33,800
|
DONNELLEY(R.R.)& SONS CO COM STK USD1.25
|
487,734
|
|
48,036
|
DONNELLEY(R.R.)& SONS CO COM STK USD1.25
|
693,159
|
|
13,000
|
DOVER CORP COM STK USD1
|
754,650
|
|
10,700
|
DOVER CORP COM STK USD1
|
621,135
|
|
9,300
|
DOW CHEMICAL CO COM STK USD2.50
|
269,793
|
|
20,677
|
DU PONT(E.I.)DE NEMOURS & CO COM STK USD0.30
|
946,593
|
|
5,500
|
DU PONT(E.I.)DE NEMOURS & CO COM STK USD0.30
|
251,790
|
|
69,379
|
DUKE REALTY CORP COM STK USD0.01
|
836,017
|
|
10,998
|
DUNKIN BRANDS GROUP INC USD0.001
|
274,730
|
|
19,735
|
EARTHLINK INC COM STK USD0.01
|
127,093
|
|
6,440
|
EAST WEST BANCORP INC USD0.001
|
127,190
|
|
7,000
|
EASTMAN CHEMICAL CO COM STK USD0.01
|
275,240
|
|
11,200
|
EATON CORP COM USD0.50
|
487,536
|
|
13,300
|
EBIX. COM INC USD0.10
|
293,930
|
|
14,800
|
EDISON INTERNATIONAL COM STK NPV
|
617,530
|
|
9,700
|
EL PASO ELECTRIC CO COM STK NPV
|
336,008
|
|
8,885
|
ELECTRONICS FOR IMAGING INC COM STK USD0.01
|
126,611
|
|
137,394
|
EMC CORP COM STK USD0.01
|
2,959,467
|
|
39,800
|
ENCANA CORP COM NPV
|
737,494
|
|
7,300
|
ENDURANCE SPECIALTY HLDGS LTD USD1
|
279,225
|
|
4,900
|
ENERGEN CORP COM STK USD0.01
|
245,000
|
|
19,560
|
ENERSYS COM USD0.01
|
507,973
|
|
11,604
|
ENERSYS COM USD0.01
|
301,356
|
|
19,000
|
ENI ADR EACH REP 2 ORD (MGT)
|
784,130
|
|
4,633
|
ENSIGN GROUP INC COM NPV
|
113,786
|
|
500
|
ENSTAR GROUP LIMITED SHS
|
49,100
|
|
8,000
|
ENTERGY CORP COM STK USD0.01
|
584,400
|
|
8,100
|
ENTERTAINMENT PROPERTY TRUST SHS OF BENEFICIAL INT
|
359,721
|
|
11,815
|
EQUIFAX INC COM STK USD1.25
|
457,713
|
1,416
|
EQUITY LIFESTYLE PROPERTIES INC COM STK USD0.01
|
94,964
|
|
20,775
|
ESTEE LAUDER COMPANIES INC USD0.01 A
|
2,333,448
|
|
9,500
|
ESTERLINE TECHNOLOGIES CORP COM STK USD0.20
|
531,715
|
|
17,460
|
EXIDE TECHNOLOGIES COM STK USD0.01
|
45,920
|
|
13,764
|
EXPEDITORS INTERN OF WASHINGTON INC COM STK
|
563,773
|
|
38,600
|
EXPRESS INC USD0.01
|
769,684
|
|
6,290
|
EXPRESS INC USD0.01
|
125,423
|
|
45,783
|
EXPRESS SCRIPTS INC COM STK USD0.01
|
2,046,042
|
|
9,100
|
EXXON MOBIL CORP COM STK NPV
|
771,316
|
|
8,300
|
F5 NETWORK INC COM STK USD0.01
|
880,796
|
|
13,815
|
FEDERATED INVESTORS INC COM STK CLASS'B'USD0.01
|
209,297
|
|
28,035
|
FIDELITY NATIONAL FINANCIAL INC CLASS 'A' COM STK
|
446,598
|
|
19,440
|
FIFTH STREET FINANCE CORP USD0.01
|
186,041
|
|
49,600
|
FIFTH THIRD BANCORP COM STK NPV
|
634,880
|
|
39,800
|
FINISAR CORP USD0.001
|
666,451
|
|
10,240
|
FINISH LINE INC CLASS'A'COM STK USD0.01
|
197,478
|
|
24,250
|
FIRST AMERICAN FINANCIAL CORP USD0.00001
|
308,703
|
|
1,110
|
FIRST CITIZENS BANCSHARES INC NRTH CLASS'A'SHS
|
194,572
|
|
19,619
|
FIRST MIDWEST BANCORP COM STK USD0.01
|
198,937
|
|
32,200
|
FIRST NIAGARA FINANCIAL GROUP INC COM
|
277,886
|
|
13,000
|
FIRSTENERGY CORP COM STK USD0.10
|
575,900
|
|
48,475
|
FLEXTRONICS INTERNATIONAL ORD USD0.01
|
274,369
|
|
11,700
|
FLOWSERVE CORP COM STK USD1.25
|
1,165,788
|
|
10,300
|
FLUOR CORP(NEW) COM STK USD0.01
|
518,763
|
|
24,520
|
FLUSHING FINANCIAL CORP COM STK USD0.01
|
309,688
|
|
5,900
|
FLUSHING FINANCIAL CORP COM STK USD0.01
|
74,517
|
|
12,952
|
FNB CORP PA COM STK USD0.01
|
146,487
|
|
24,400
|
FOOT LOCKER INC COM STK USD0.01
|
581,696
|
|
5,405
|
FOOT LOCKER INC COM STK USD0.01
|
128,855
|
|
7,948
|
FOOT LOCKER INC COM STK USD0.01
|
189,480
|
|
4,900
|
FOSSIL INC COM STK USD0.01
|
388,864
|
|
37,600
|
FOSTER WHEELER AG CHF3
|
719,664
|
|
6,000
|
FRANKLIN RESOURCES INC COM STK USD0.10
|
576,360
|
|
9,030
|
FRESH DEL MONTE PRODUCE NV COM STK USD0.01
|
225,840
|
|
10,165
|
FTI CONSULTING INC COM STK USD0.01
|
431,199
|
|
7,500
|
FULLER(H.B.)CO COM STK USD1
|
173,325
|
|
18,100
|
FULTON FINANCIAL CORP COM STK USD2.50
|
178,647
|
|
4,040
|
G & K SERVICES INC CLASS'A'COM STK USD0.50
|
117,604
|
|
1,500
|
G & K SERVICES INC CLASS'A'COM STK USD0.50
|
43,665
|
|
9,230
|
GAMESTOP CORPORATION NEW CLASS 'A' COM USD0.001
|
222,720
|
|
67,900
|
GANNETT CO INC COM STK USD1
|
913,255
|
|
8,265
|
GENERAC HLDGS USD0.01
|
231,668
|
|
17,719
|
GENERAL CABLE CORP COM STK USD0.01
|
443,152
|
|
17,740
|
GENWORTH FINANCIAL INC COM STK USD0.001
|
116,197
|
|
7,340
|
GEO GROUP INC COM USD0.01
|
122,945
|
|
21,100
|
GILEAD SCIENCES INC COM STK USD0.001
|
863,623
|
|
28,100
|
GLOBAL PAYMENTS INC COM STK USD0.001
|
1,331,378
|
|
3,045
|
GLOBAL PAYMENTS INC COM STK USD0.001
|
144,272
|
|
4,300
|
GLOBAL PAYMENTS INC COM STK USD0.001
|
203,734
|
|
35,330
|
GLOBE SPECIALTY METALS INC USD0.0001
|
473,069
|
|
16,161
|
GOLDMAN SACHS GROUP INC COM STK USD0.01
|
1,461,439
|
|
6,600
|
GOLDMAN SACHS GROUP INC COM STK USD0.01
|
596,838
|
|
22,100
|
GOODRICH CORP COM STK USD5
|
2,740,179
|
|
5,700
|
GOODRICH PETROLEUM CORPORATION COM STK USD0.20
|
78,261
|
|
6,863
|
GOOGLE INC COM STK USD0.001 CLS'A'
|
4,432,812
|
|
4,400
|
GRACO INC COM STK USD1
|
179,916
|
|
50,800
|
GRAND CANYON EDUCATION INC USD0.01
|
810,768
|
|
2,775
|
GRANITE CONSTRUCTION COM STK USD0.01
|
66,184
|
|
56,105
|
GRAPHIC PACKAGING HLDG CO USD0.01
|
239,007
|
|
2,261
|
GREATBATCH INC COM STK USD0.001
|
49,968
|
|
4,500
|
GREEN MOUNTAIN COFFEE ROASTERS INC COM STK USD0.10
|
201,825
|
|
12,711
|
GRIFFON CORP COM STK USD0.25
|
116,051
|
|
3,925
|
GROUP 1 AUTOMOTIVE INC COM STK NPV
|
203,315
|
|
36,000
|
GUESS INC COM STK USD0.01
|
1,080,720
|
|
1,400
|
HANCOCK HOLDING CO COM STK USD3.33
|
44,758
|
13,215
|
HANGER ORTHOPEDIC USD0.01
|
246,988
|
|
9,800
|
HANGER ORTHOPEDIC USD0.01
|
183,162
|
|
3,085
|
HANOVER INSURANCE GROUP INC COM STK USD0.01
|
107,821
|
|
32,203
|
HARLEY DAVIDSON COM STK USD0.01
|
1,251,731
|
|
127,600
|
HARMONIC INC COM STK USD0.001
|
643,104
|
|
11,315
|
HARRIS CORP COM STK USD1
|
407,793
|
|
13,570
|
HARSCO CORP COM STK USD1.25
|
279,271
|
|
38,700
|
HARTFORD FINANCIAL SERVICES GRP INC COM STK
|
631,945
|
|
13,315
|
HATTERAS FINANCIAL CORP USD0.001
|
363,100
|
|
23,800
|
HCC INSURANCE HLDG COM STK USD1
|
658,189
|
|
8,339
|
HEALTH CARE REIT INC COM STK USD1
|
454,726
|
|
9,300
|
HEALTHWAYS INC COM STK USD0.001
|
63,798
|
|
14,400
|
HEIDRICK & STRUGGLES COM STK USD0.01
|
310,176
|
|
10,625
|
HEIDRICK & STRUGGLES COM STK USD0.01
|
228,863
|
|
11,510
|
HELIX ENERGY SOLUTIONS GROUP INC COM STK NPV
|
181,858
|
|
13,400
|
HELMERICH & PAYNE INC COM STK USD0.10
|
782,024
|
|
28,800
|
HELMERICH & PAYNE INC COM STK USD0.10
|
1,680,768
|
|
7,500
|
HERBALIFE LTD
|
387,525
|
|
46,300
|
HEXCEL CORP COM STK USD0.01
|
1,120,923
|
|
10,490
|
HILLENBRAND INC NPV
|
234,137
|
|
2,809
|
HILL-ROM HOLDINGS INC COM STK NPV
|
94,635
|
|
9,500
|
HUMANA INC COM STK USD0.166
|
834,670
|
|
11,500
|
HUMANA INC COM STK USD0.166
|
1,010,390
|
|
114,200
|
HUNTINGTON BANCSHARES INC COM STK NPV
|
631,526
|
|
33,110
|
HUNTINGTON BANCSHARES INC COM STK NPV
|
183,098
|
|
5,495
|
HUNTINGTON INGALLS INDUSTRIES INC USD0.01 WI
|
171,884
|
|
13,200
|
IAC/INTERACTIVE CORP COM STK USD0.001
|
562,320
|
|
16,900
|
IAC/INTERACTIVE CORP COM STK USD0.001
|
719,940
|
|
17,665
|
ICON SPON ADR EACH 1 REP I SHR
|
302,248
|
|
52,200
|
IGATE CORP COM STK USD0.01
|
821,106
|
|
23,697
|
ILLUMINA INC COM STK USD0.01
|
722,285
|
|
33,900
|
IMMUNOGEN INC COM STK USD0.01
|
392,562
|
|
2,355
|
INFINITY PROPERTY & CASUALTY CORP COM NPV
|
133,623
|
|
21,735
|
INGRAM MICRO INC CLASS'A'COM STK USD0.01
|
395,360
|
|
6,850
|
INSIGHT ENTERPRISE INC COM STK USD0.01
|
104,737
|
|
9,600
|
INSIGHT ENTERPRISE INC COM STK USD0.01
|
146,784
|
|
6,510
|
INTEGRA LIFESCIENCES HLDGS CORP COM STK USD0.01
|
200,703
|
|
26,865
|
INTEGRATED DEVICE TECHNOLOGY INC COM STK USD0.001
|
146,683
|
|
82,211
|
INTEGRATED DEVICE TECHNOLOGY INC COM STK USD0.001
|
448,872
|
|
40,700
|
INTERMEC INC COM STK USD0.01
|
279,202
|
|
18,528
|
INTERNATIONAL BUS MACH CORP COM STK USD0.20
|
3,406,929
|
|
6,600
|
INTERNATIONAL BUS MACH CORP COM STK USD0.20
|
1,213,608
|
|
9,000
|
INTERNATIONAL PAPER CO COM STK USD1
|
266,400
|
|
7,695
|
INTERNATIONAL SPEEDWAY CORP CLASS'A'COM STK
|
195,068
|
|
28,000
|
INTERXION HLDG NV EUR0.1
|
376,600
|
|
24,900
|
INTUIT INC COM STK USD0.01
|
1,309,491
|
|
68,900
|
ION GEOPHYSICAL CORPORATION COM STK USD0.01
|
422,357
|
|
63,700
|
ISIS PHARMACEUTICAL COM STK USD0.001
|
459,277
|
|
33,600
|
ITT EDUCATIONAL SERVICES INC COM STK USD0.01
|
1,911,504
|
|
214
|
JACK IN THE BOX INC COM STK USD0.01
|
4,473
|
|
18,180
|
JANUS CAPITAL GROUP INC COM STK USD0.01
|
114,716
|
|
29,000
|
JDA SOFTWARE GROUP INC COM STK USD0.01
|
939,310
|
|
73,900
|
JDS UNIPHASE CORP COM STK USD0.008
|
771,516
|
|
35,106
|
JOHNSON & JOHNSON COM STK USD1
|
2,302,251
|
|
13,100
|
JOHNSON & JOHNSON COM STK USD1
|
859,098
|
|
16,800
|
JOHNSON CONTROLS INC COM STK USD0.01388
|
528,192
|
|
6,600
|
JOY GLOBAL INC COM STK USD1
|
494,802
|
|
13,400
|
JOY GLOBAL INC COM STK USD1
|
1,004,598
|
|
47,353
|
JPMORGAN CHASE & CO COM STK USD1
|
1,574,487
|
|
18,900
|
JPMORGAN CHASE & CO COM STK USD1
|
628,425
|
|
82,559
|
JUNIPER NETWORKS COM STK USD0.00001
|
1,685,029
|
|
21,600
|
KANSAS CITY SOUTHERN COM STK USD0.01
|
1,469,016
|
|
15,385
|
KAR AUCTION SERVICES INC USD0.01
|
207,698
|
|
20,200
|
KBR INC COM STK USD0.001
|
563,904
|
|
5,315
|
KENNAMETAL INC CAP STK USD1.25
|
194,104
|
6,000
|
KENNAMETAL INC CAP STK USD1.25
|
219,120
|
|
84,000
|
KEYCORP COM STK USD1
|
645,960
|
|
17,892
|
KINDRED HEALTHCARE INC COM STK USD0.25
|
210,589
|
|
22,155
|
KNIGHT CAPITAL GROUP INC CLASS'A' COM STK USD0.01
|
261,872
|
|
11,520
|
KNOLL INC COM STK USD1
|
171,072
|
|
3,855
|
KNOLL INC COM STK USD1
|
57,247
|
|
42,437
|
KRAFT FOODS INC COM STK NPV CLS'A'
|
1,597,753
|
|
2,600
|
LAKELAND FINANCIAL CORP COM STK USD0.01
|
67,262
|
|
27,700
|
LAM RESEARCH CORP COM STK USD0.001
|
1,025,454
|
|
4,860
|
LANDSTAR SYSTEMS INC COM STK USD0.01
|
232,891
|
|
58,700
|
LAS VEGAS SANDS CORP COM STK USD0.001
|
2,508,251
|
|
13,173
|
LA-Z-BOY INC COM STK USD1
|
156,759
|
|
4,370
|
LEAR CORP COM NEW WI
|
173,926
|
|
19,725
|
LENNAR CORP COM STK USD0.10
|
387,596
|
|
29,566
|
LEVEL 3 COMMUNICATIONS INC USD0.01
|
502,326
|
|
4,400
|
LEXMARK INTERNATIONAL INC CLASS'A'COM STK USD0.01
|
145,508
|
|
12,400
|
LIBERTY MEDIA CORP-LIBERTY CAPITAL
|
967,820
|
|
9,500
|
LIFE TECHNOLOGIES CORP COM
|
369,645
|
|
2,457
|
LIFE TIME FITNESS INC COM STK USD0.02
|
114,865
|
|
6,570
|
LIFEPOINT HOSPITALS INC COM STK USD0.01
|
244,076
|
|
21,300
|
LILLY(ELI)& CO COM STK NPV
|
885,228
|
|
14,900
|
LIMITED BRANDS INC COM STK USD0.50
|
601,215
|
|
2,400
|
LIMITED BRANDS INC COM STK USD0.50
|
96,840
|
|
70,000
|
LIN TV CORP COM STK USD0.01
|
296,100
|
|
19,095
|
LINCARE HLDGS INC COM STK USD0.01
|
490,932
|
|
30,500
|
LINCOLN NATIONAL CORP COM STK USD1.25
|
592,310
|
|
43,505
|
LINCOLN NATIONAL CORP COM STK USD1.25
|
844,867
|
|
13,424
|
LINKEDIN CORP USD0.0001 A
|
845,846
|
|
31,960
|
LIVE NATION ENTERTAINMENT INC COM STK USD0.01
|
265,588
|
|
7,700
|
LORILLARD INC USD0.01
|
877,800
|
|
134,400
|
LSI CORPORATION COM STK USD0.01
|
799,680
|
|
5,700
|
LTC PROPERTIES INC COM STK USD0.01
|
175,902
|
|
32,068
|
LULULEMON ATHLETICA INC COM STK USD0.01
|
1,496,293
|
|
5,200
|
M & T BANK CORP COM STK USD5
|
396,968
|
|
2,000
|
MACK CALI REALTY CORP COM STK USD0.01
|
53,380
|
|
18,400
|
MACY'S INC COM STK USD0.01
|
593,832
|
|
12,600
|
MADISON SQUARE GARDEN CO/THE
|
360,864
|
|
36,500
|
MANPOWER INC
|
1,304,875
|
|
9,820
|
MANPOWER INC
|
351,065
|
|
11,976
|
MASTERCARD INC COM STK
|
4,464,892
|
|
19,600
|
MATTEL INC COM STK USD1
|
544,096
|
|
3,820
|
MATTHEWS INTL CORP CLASS'A'COM STK USD1
|
120,063
|
|
30,512
|
MAXIM INTEGRATED PRODUCTS COM STK USD0.001
|
794,532
|
|
2,940
|
MAXIMUS INC COM STK NPV
|
121,569
|
|
5,776
|
MB FINANCIAL INC COM STK USD0.01
|
98,770
|
|
1,603
|
MCDONALDS CORP COM
|
160,829
|
|
10,700
|
MCKESSON CORP COM STK USD0.01
|
835,777
|
|
26,158
|
MEAD JOHNSON NUTRITION USD0.01
|
1,804,640
|
|
25,600
|
MEADWESTVACO CORPORATION COM NPV
|
766,720
|
|
6,270
|
MENS WEARHOUSE INC COM STK USD0.01
|
203,211
|
|
19,900
|
METLIFE INC COM STK USD0.01
|
620,482
|
|
67,610
|
MFA FINANCIAL INC COM STK USD0.01
|
472,594
|
|
12,300
|
MFA FINANCIAL INC COM STK USD0.01
|
85,977
|
|
44,105
|
MGIC INVESTMENT CORP COM STK USD1
|
164,512
|
|
87,500
|
MICROMET INC COM STK USD0.00004
|
629,125
|
|
49,000
|
MICROSOFT CORP COM STK USD0.00000625
|
1,272,040
|
|
46,400
|
MILLER(HERMAN) INC COM STK USD0.20
|
857,136
|
|
2,900
|
MINERALS TECHNOLOGIES INC COM STK USD0.10
|
163,937
|
|
2,760
|
MONRO MUFFLER BRAKE INC COM STK USD0.01
|
107,060
|
|
47,127
|
MONSANTO CO COM STK USD0.01
|
3,302,189
|
|
17,360
|
MONSTER WORLDWIDE INC COM STK USD0.001
|
137,665
|
|
5,500
|
MOOG INC CLASS'A'(LIM.V)USD1
|
241,615
|
|
76,259
|
MORGAN STANLEY COM STK USD0.01
|
1,153,799
|
|
26,800
|
MOSAIC CO(THE) USD0.01
|
1,351,524
|
|
2,415
|
MUELLER INDUSTRIES INC COM STK USD0.01
|
92,784
|
7,200
|
MURPHY OIL CORP COM USD1
|
401,328
|
|
3,900
|
MYERS INDUSTRIES INC COM STK NPV
|
48,399
|
|
62,400
|
MYLAN INC COM STK USD0.50
|
1,339,104
|
|
43,200
|
MYRIAD GENETICS INC COM STK USD0.01
|
904,608
|
|
44,700
|
NABORS INDUSTRIES COM STK USD0.001
|
775,098
|
|
10,800
|
NATIONAL OILWELL VARCO INC COM STK USD0.01
|
734,292
|
|
20,264
|
NATIONAL PENN BANCSHARES COM STK NPV
|
171,028
|
|
25,305
|
NAVIGANT CONSULTING INC COM STK USD0.001
|
288,730
|
|
14,395
|
NAVIGANT CONSULTING INC COM STK USD0.001
|
164,247
|
|
12,800
|
NAVISTAR INTERNATIONAL CORP COM STK USD0.10
|
484,864
|
|
33,449
|
NETAPP INC COM STK NPV
|
1,213,195
|
|
17,800
|
NETAPP INC COM STK NPV
|
645,606
|
|
8,900
|
NEWFIELD EXPLORATION CO COM STK USD0.01
|
335,797
|
|
32,200
|
NEWS CORP CLASS'A'NON VTG COM STKUSD0.01
|
574,448
|
|
28,700
|
NII HOLDINGS INC COM STK USD0.001
|
611,310
|
|
38,343
|
NIKE INC CLASS'B'COM STK NPV
|
3,708,918
|
|
11,600
|
NOBLE CORPORATION CHF3.28
|
350,552
|
|
12,500
|
NORDSTROM INC COM STK NPV
|
621,375
|
|
35,500
|
NORTH AMERICAN ENERGY PARTNERS COM NPV
|
228,620
|
|
3,400
|
NORTHROP GRUMMAN CORP COM STK USD1
|
198,832
|
|
15,700
|
NOVARTIS AG ADR EACH REPR 1 CHF0.50(REGD)
|
897,569
|
|
38,000
|
NOVELLUS SYSTEMS INC COM STK NPV
|
1,569,020
|
|
22,339
|
NOVO-NORDISK AS ADR EACH REPR 1 CLS'B'
|
2,574,793
|
|
32,300
|
NRG ENERGY INC COM STK USD0.01
|
585,276
|
|
3,850
|
NU SKIN ENTERPRISES INC CLASS'A'COM STK USD0.001
|
186,995
|
|
22,000
|
NUANCE COMMUNICATIONS INC COM STK USD0.001
|
553,520
|
|
38,400
|
NV ENERGY INC COM STK USD0.01
|
627,840
|
|
18,339
|
OCCIDENTAL PETROLEUM CORP COM USD0.20
|
1,726,800
|
|
8,100
|
OCCIDENTAL PETROLEUM CORP COM USD0.20
|
762,910
|
|
2,550
|
OCEANEERING INTERNATIONAL INC COM STK USD0.25
|
117,632
|
|
41,365
|
OCWEN FINANCIAL CORP COM STK USD0.01
|
598,965
|
|
4,900
|
OLD DOMINION FREIGHT LINE INC COM STK USD0.10
|
198,597
|
|
8,700
|
OMEGA HEALTHCARE INVESTORS COM STK USD0.10
|
168,345
|
|
14,845
|
OMNICARE INC COM STK USD1
|
511,410
|
|
27,700
|
ONYX PHARMACEUTICALS COM STK USD0.001
|
1,217,415
|
|
132,498
|
ORACLE CORP USD0.01
|
3,398,574
|
|
44,300
|
ORACLE CORP USD0.01
|
1,136,295
|
|
105,000
|
ORIENT EXPRESS HOTELS LTD CLS'A'COM STK USD0.01
|
784,350
|
|
4,630
|
OSHKOSH CORPORATION
|
98,989
|
|
8,935
|
OWENS & MINOR INC COM STK USD2
|
248,304
|
|
8,900
|
OWENS CORNING INC COM STK USD0.01
|
255,608
|
|
22,100
|
OWENS-ILLINOIS INC COM STK USD0.01
|
428,298
|
|
2,400
|
OXFORD INDUSTRIES INC COM STK USD1
|
108,288
|
|
34,000
|
PALL CORP COM STK USD0.10
|
1,943,100
|
|
8,700
|
PANTRY INC COM STK USD0.01
|
104,139
|
|
4,300
|
PAR PHARMACEUTICAL USD0.01
|
140,739
|
|
9,100
|
PARAMETRIC TECHNOLOGY CORP NEW COM STK USD0.01
|
166,166
|
|
10,055
|
PAREXEL INTERNATIONAL CORP COM STK USD0.01
|
208,541
|
|
6,250
|
PARKER-HANNIFIN CORP COM STK USD0.50
|
476,563
|
|
3,925
|
PARTNERRE COM STK USD1
|
252,024
|
|
9,000
|
PEP BOYS MANNY MOE & JACK COM STK USD1
|
99,000
|
|
39,500
|
PFIZER INC COM STK USD0.05
|
854,780
|
|
13,600
|
PG&E CORP COM STK NPV
|
566,780
|
|
25,665
|
PHH CORP COM STK NPV
|
274,616
|
|
10,900
|
PHH CORP COM STK NPV
|
116,630
|
|
11,200
|
PHILIP MORRIS INTERNATIONAL INC NPV
|
887,600
|
|
8,300
|
PHILLIPS VAN HEUSEN CORP COM STK USD1
|
585,067
|
|
11,617
|
PIER 1 IMPORTS INC COM STK USD1
|
161,825
|
|
12,500
|
PINNACLE WEST CAPITAL CORP COM STK USD2.50
|
602,250
|
|
13,200
|
PINNACLE WEST CAPITAL CORP COM STK USD2.50
|
635,976
|
|
9,800
|
PIONEER NATURAL RESOURCES CO COM STK USD0.01
|
876,904
|
|
26,800
|
PITNEY BOWES INC COM STK USD1
|
496,872
|
|
12,515
|
PLATINUM UNDERWRITERS HLDGS LTD SHS
|
426,887
|
|
3,300
|
PLATINUM UNDERWRITERS HLDGS LTD SHS
|
112,563
|
|
10,600
|
PNC FINANCIAL SERVICES GROUP COM STK USD5
|
611,302
|
24,825
|
PNM RESOURCES INC COM STK USD5
|
452,560
|
|
10,500
|
POLARIS INDUSTRIES INC COM STK USD0.01
|
587,790
|
|
6,800
|
POLARIS INDUSTRIES INC COM STK USD0.01
|
380,664
|
|
3,100
|
PPG INDUSTRIES INC COM STK USD1.666
|
258,819
|
|
23,029
|
PRECISION CASTPARTS CORP COM NPV
|
3,795,640
|
|
15,900
|
PRECISION CASTPARTS CORP COM NPV
|
2,620,638
|
|
3,644
|
PRICELINE.COM INC COM STK USD0.008
|
1,704,335
|
|
600
|
PRICELINE.COM INC COM STK USD0.008
|
280,626
|
|
25,100
|
PRINCIPAL FINANCIAL GROUP COM STK USD0.01
|
617,460
|
|
7,120
|
PROGRESS SOFTWARE CORP COM STK USD0.01
|
137,772
|
|
4,099
|
PROSPERITY BANCSHARES INC COM STK USD1
|
166,194
|
|
11,600
|
PRUDENTIAL FINANCIAL INC COM STK USD0.01
|
581,392
|
|
22,715
|
PULTE GROUP INC COM STK USD0.01
|
143,332
|
|
10,600
|
QEP RESOURCES INC USD0.01
|
310,580
|
|
40,755
|
QUALCOMM INC COM STK USD0.0001
|
2,229,299
|
|
45,200
|
RADVISION ORD ILS0.10
|
382,844
|
|
19,642
|
RALPH LAUREN CORP USD0.01 A
|
2,716,096
|
|
37,900
|
RAYMOND JAMES FINANCIAL INC COM STK USD0.01
|
1,178,311
|
|
6,535
|
RAYMOND JAMES FINANCIAL INC COM STK USD0.01
|
203,173
|
|
35,203
|
RED HAT USD0.0001
|
1,453,532
|
|
16,495
|
REDWOOD TRUST INC COM STK USD0.01
|
167,919
|
|
33,900
|
REGENERON PHARMACEUTICALS INC COM STK USD0.001
|
1,879,077
|
|
7,200
|
REGIS CORP COM STK USD0.05
|
119,160
|
|
6,845
|
REINSURANCE GROUP OF AMERICA USD0.01
|
357,651
|
|
3,100
|
REINSURANCE GROUP OF AMERICA USD0.01
|
161,975
|
|
5,300
|
RELIANCE STEEL & ALUMINIUM COM STK NPV
|
258,057
|
|
2,490
|
RENAISSANCERE HLDGS COM STK USD1
|
185,181
|
|
10,445
|
RENT-A-CENTER INC COM STK USD0.01
|
388,136
|
|
90,000
|
RF MICRO DEVICES INC COM STK NPV
|
486,000
|
|
24,700
|
ROBERT HALF INTERNATIONAL INC COM STK USD1
|
702,962
|
|
1,970
|
ROCK-TENN CO CLASS'A'COM STK USD0.01
|
113,669
|
|
4,617
|
ROPER INDUSTRIES INC COM STK USD0.01
|
401,079
|
|
10,785
|
ROSETTA RESOURCES INC COM STK USD0.01
|
469,148
|
|
12,200
|
ROSS STORES INC COM STK USD0.01
|
579,866
|
|
30,300
|
ROWAN COS INC COM STK USD0.125
|
918,999
|
|
29,300
|
ROYAL CARIBBEAN CRUISES COM STK USD0.01
|
728,691
|
|
10,400
|
ROYAL DUTCH SHELL ADR EACH REPR 2'A'SHS
|
760,136
|
|
31,800
|
RTI INTERNATIONAL METALS INC COM STK USD0.01
|
738,078
|
|
17,200
|
RUBY TUESDAY INC COM USD0.01
|
118,680
|
|
9,057
|
RUDDICK CORP COM STK USD1
|
387,368
|
|
1,000
|
RYDER SYSTEM INC COM STK USD0.50
|
53,140
|
|
4,900
|
S & T BANCORP INC COM STK USD2.50
|
95,795
|
|
63,700
|
SAKS INC COM STK USD0.10
|
621,075
|
|
26,149
|
SALESFORCE.COM INC COM STK USD0.001
|
2,653,078
|
|
23,900
|
SANOFI ADR ECH REP 1/2 ORD EUR2 SPON
|
873,306
|
|
22,300
|
SAP AG ADR EACH 1 REP 1 COM NPV(SPONS)LEVEL II
|
1,180,785
|
|
22,029
|
SARA LEE CORP COM STK USD0.01
|
419,322
|
|
53,954
|
SCHLUMBERGER COM STK USD0.01
|
3,699,086
|
|
93,235
|
SCHWAB(CHARLES)CORP COM STK USD0.01
|
1,049,826
|
|
91,600
|
SEACHANGE INTERNATIONAL INC COM STK USD0.01
|
643,948
|
|
4,400
|
SEACOR HLDGS INC COM STK USD0.01
|
391,424
|
|
27,070
|
SEAGATE TECHNOLOGY PLC USD0.00001
|
443,948
|
|
48,900
|
SEATTLE GENETICS INC COM STK USD0.01
|
817,364
|
|
31,440
|
SELECT MEDICAL HLDGS CORP USD0.001
|
266,611
|
|
16,780
|
SEMGROUP CORP COM STK 'CLS A'
|
437,287
|
|
3,305
|
SENSIENT TECHNOLOGIES CORP COM STK USD0.10
|
125,260
|
|
22,090
|
SERVICE CORPORATION INTERNATIONAL COM STK USD1
|
235,259
|
|
23,600
|
SHAW GROUP INC COM STK NPV
|
634,840
|
|
32,076
|
SHIRE PLC
|
3,332,696
|
|
13,400
|
SIGNET JEWELERS LTD COM STK USD0.18
|
589,064
|
|
4,400
|
SIGNET JEWELERS LTD COM STK USD0.18
|
193,424
|
|
83,400
|
SINCLAIR BROADCAST GROUP INC CLASS'A'COM STK
|
944,922
|
|
10,430
|
SKECHERS USA INC CLASS'A'COM STK USD0.001
|
126,412
|
|
36,000
|
SKYWORKS SOLUTIONS INCCOM
|
583,920
|
|
44,200
|
SLM CORP COM STK USD0.20
|
592,280
|
|
25,300
|
SLM CORP COM STK USD0.20
|
339,020
|
2,395
|
SM ENERGY CO
|
175,075
|
|
8,435
|
SOLUTIA INC COM STK USD0.01
|
145,757
|
|
13,500
|
SOLUTIA INC COM STK USD0.01
|
233,280
|
|
23,700
|
SONOCO PRODUCTS CO COM STK NPV
|
781,152
|
|
19,500
|
SOTHEBYS INC CLASS'A'LIM.V COM STK USD0.10 BR
|
556,335
|
|
47,088
|
SOUTHWESTERN ENERGY CO COM STK USD0.10
|
1,503,991
|
|
9,200
|
SPARTAN STORES INC COM STK USD0.01
|
170,200
|
|
28,800
|
ST.JUDE MEDICAL INC COM STK USD0.10
|
993,888
|
|
2,400
|
STANCORP FINANCIAL GROUP COM STK NPV
|
88,200
|
|
6,900
|
STANDEX INTERNATIONAL CORP COM STK USD1.5
|
235,773
|
|
79,918
|
STARBUCKS CORP COM STK NPV
|
3,677,027
|
|
78,200
|
STEELCASE INC COM STK NPV
|
588,064
|
|
4,900
|
STERIS CORP COM STK NPV
|
146,118
|
|
3,975
|
STIFEL FINANCIAL CORP COM STK USD0.15
|
127,399
|
|
86,500
|
STILLWATER MINING CO COM STK USD0.01
|
904,790
|
|
22,600
|
SUNOCO INC COM STK USD1
|
927,052
|
|
4,670
|
SVB FINANCIAL GROUP COM STK USD0.001
|
222,712
|
|
8,265
|
SWIFT ENERGY CO COM STK USD0.01
|
245,636
|
|
2,300
|
SY BANCORP INC COM STK NPV
|
47,633
|
|
10,045
|
SYKES ENTERPRISES INC COM STK USD0.01
|
157,305
|
|
8,856
|
SYKES ENTERPRISES INC COM STK USD0.01
|
138,685
|
|
19,265
|
SYMETRA FINANCIAL CORP USD0.01
|
174,734
|
|
12,720
|
SYMMETRY MEDICAL INC COM STK USD0.0001
|
101,633
|
|
9,155
|
SYNNEX CORP COM STK USD0.001
|
278,861
|
|
64,100
|
TALISMAN ENERGY INC COM NPV
|
817,275
|
|
65,910
|
TCF FINANCIAL COM STK USD0.01
|
680,191
|
|
7,500
|
TECK RESOURCES LTD CLASS'B'SUB-VTG COM NPV
|
266,646
|
|
31,200
|
TECO ENERGY INC COM STK USD1
|
597,168
|
|
4,615
|
TELETECH HLDGS COM STK USD0.01
|
74,763
|
|
18,330
|
TERADYNE INC COM STK USD0.125
|
249,838
|
|
7,330
|
TEREX CORP COM STK USD0.01
|
99,028
|
|
8,635
|
THOR INDUSTRIES COM STK USD0.10
|
238,153
|
|
3,800
|
TIDEWATER INC COM STK USD0.10
|
187,340
|
|
18,700
|
TIFFANY & CO COM STK USD0.01
|
1,244,485
|
|
13,200
|
TIMKEN CO COM STK NPV
|
510,972
|
|
10,845
|
TOLL BROS INC COM STK USD0.01
|
221,455
|
|
15,300
|
TOTAL S.A ADR EACH CNV INTO 1 SHR
|
792,485
|
|
8,685
|
TOWERS WATSON & CO CLASS A USD0.01
|
521,361
|
|
7,700
|
TRACTOR SUPPLY CO COM STK USD0.008
|
540,155
|
|
8,896
|
TRANSDIGM GROUP INC USD0.01
|
851,169
|
|
17,600
|
TRANSOCEAN LTD CHF15
|
675,664
|
|
10,200
|
TRAVELERS COS INC/THE
|
603,534
|
|
46,300
|
TRIMBLE NAVIGATION COM STK NPV
|
2,009,420
|
|
126,600
|
TRIQUINT SEMI CONDUCTOR INC COM STK USD0.001
|
616,542
|
|
15,800
|
TRW AUTOMOTIVE HLDGS CORP COM STK USD0.01
|
515,080
|
|
14,005
|
TUTOR PERINI CORP COM STK USD1
|
172,822
|
|
58,700
|
TW TELECOM INC CLS'A'COM STK USD0.01
|
1,137,606
|
|
12,115
|
TWO HARBORS INVESTMENT CORP USD0.0001
|
116,789
|
|
15,200
|
TWO HARBORS INVESTMENT CORP USD0.0001
|
146,528
|
|
7,300
|
UGI CORP COM NPV
|
216,518
|
|
21,400
|
ULTRA PETROLEUM CORP COM NPV
|
634,082
|
|
39,033
|
UNIFI INC USD0.1
|
296,651
|
|
16,738
|
UNION PACIFIC CORP COM STK USD2.50
|
1,783,043
|
|
2,700
|
UNISOURCE ENERGY CORP COM STK NPV
|
99,684
|
|
2,900
|
UNITED BANKSHARES INC COM STK USD2.50
|
82,882
|
|
16,400
|
UNITED STATES CELLULAR CORP COM STK USD1
|
715,532
|
|
15,400
|
UNITED STATES STEEL CORP COM STK USD1
|
407,484
|
|
12,972
|
UNITED STATIONERS INC COM STK USD0.10
|
424,055
|
|
20,307
|
UNITED TECHNOLOGIES CORP COM STK USD1
|
1,484,239
|
|
16,600
|
UNITEDHEALTH GROUP INC COM STK USD0.01
|
841,288
|
|
3,820
|
UNIVERSAL CORP COM STK NPV
|
175,567
|
|
32,900
|
UNIVERSAL HEALTH SERVICES INC CLASS'B'COM USD0.01
|
1,278,494
|
|
27,900
|
UNUM GROUP COM
|
587,853
|
|
31,108
|
URS CORP COM STK USD0.01
|
1,092,513
|
|
35,800
|
US AIRWAYS GROUP INC
|
181,506
|
|
12,460
|
UTI WORLDWIDE INC ORD NPV
|
165,593
|
5,135
|
VALASSIS COMMUNICATIONS INC COM STK USD0.01
|
98,746
|
|
34,800
|
VALERO ENERGY CORP(NEW) USD0.01
|
732,540
|
|
20,829
|
VALIDUS HOLDING LTD COM STK USD0.175
|
656,125
|
|
13,667
|
VALLEY NATIONAL BANCORP COM STK NPV
|
171,418
|
|
33,900
|
VALSPAR CORP COM STK USD0.50
|
1,327,863
|
|
14,105
|
VCA ANTECH INC COM STK USD0.01
|
278,574
|
|
8,400
|
VECTREN CORP COM NPV
|
253,932
|
|
30,163
|
VERTEX PHARMACEUTICAL COM STK USD0.01
|
1,001,713
|
|
4,100
|
VF CORP COM STK NPV
|
520,659
|
|
4,400
|
VF CORP COM STK NPV
|
558,756
|
|
13,500
|
VIACOM INC NEW CLASS'B' NON-VTG COM USD0.001
|
616,410
|
|
5,818
|
VIAD CORP COM STOCK USD1.5
|
101,931
|
|
16,587
|
VISA INC USD0.0001 'A'
|
1,684,078
|
|
73,100
|
VISHAY INTL USD0.10
|
657,169
|
|
42,414
|
VMWARE INC CLS'A'COM STK USD0.01
|
3,528,421
|
|
48,300
|
WADDELL & REED FINL INC CL A
|
1,208,466
|
|
40,100
|
WADDELL & REED FINL INC CL A
|
1,003,302
|
|
5,539
|
WADDELL & REED FINL INC CL A
|
138,586
|
|
81,606
|
WALT DISNEY(HLDG)CO DISNEY COM STK USD0.01
|
3,109,189
|
|
2,075
|
WARNACO GROUP INC CLS'A'COM STK USD0.01
|
103,833
|
|
14,700
|
WATERS CORP COM STK USD0.01
|
1,088,535
|
|
12,400
|
WELLPOINT INC COM STK USD0.01
|
821,500
|
|
30,300
|
WERNER ENTERPRISES INC COM STK USD0.01
|
730,230
|
|
29,600
|
WESCO INTERNATIONAL INC COM STK USD0.01
|
1,569,096
|
|
4,825
|
WESCO INTERNATIONAL INC COM STK USD0.01
|
255,773
|
|
800
|
WESTAMERICA BANCORP COM STK NPV
|
35,120
|
|
49,300
|
WESTERN UNION COMPANY (THE) COM STK USD0.01
|
900,218
|
|
86,600
|
WESTERN UNION COMPANY (THE) COM STK USD0.01
|
1,581,316
|
|
8,200
|
WHIRLPOOL CORP COM STK USD1
|
389,090
|
|
38,100
|
WHITING PETROLEUM CORP COM STK USD0.001
|
1,778,889
|
|
38,336
|
WHOLE FOODS MARKET INC COM STK NPV
|
2,667,419
|
|
5,315
|
WILLIS GROUP HLDGS PLC ORD SHS USD0.000115
|
207,604
|
|
66,400
|
WINN-DIXIE STORES INC COM USD1
|
622,832
|
|
9,025
|
WORLD FUEL SERVICES CORP COM STK USD0.01
|
379,208
|
|
9,400
|
WRIGHT EXPRESS CORP COM STK USD0.01
|
510,232
|
|
1,300
|
WSFS FINANCIAL CORP COM STK USD0.01
|
46,748
|
|
15,800
|
WYNDHAM WORLDWIDE USD0.01
|
597,714
|
|
13,100
|
WYNDHAM WORLDWIDE USD0.01
|
495,573
|
|
Total Corporate Stock
|
$
|
442,805,802
|
|
Corporate Debt Securities
|
|||
125,000
|
ALTRIA GROUP INC 8.5% NTS 10/NOV/2013 USD1000
|
$
|
142,624
|
100,000
|
AMERICAN AIRLINES INC 8.625% NTS 15/OCT/2021
|
104,084
|
|
100,000
|
AMERICAN EXPRESS CO 7.25% LN STK 20/MAY/2014
|
112,503
|
|
50,000
|
ANADARKO PETROLEUM CORP 5.95% SNR NTS 15/SEP/2016
|
57,553
|
|
75,000
|
ARCELORMITTAL SA 9% LN STK 15/FEB/2015 USD1000
|
85,469
|
|
123,000
|
AT&T INC 5.35% BDS 01/SEP/2040 USD1000
|
140,556
|
|
350,000
|
BANK OF AMERICA CORP 5.65% BDS 01/MAY/2018 USD5000
|
336,759
|
|
150,000
|
BANK OF AMERICA CORP FLTG RATE NTS 15/JUN/2016
|
121,202
|
|
200,000
|
BANK OF NEW YORK MELLON CORP 1.7% BDS 24/NOV/2014
|
201,443
|
|
75,000
|
BARCLAYS BANK PLC 5% SNR NTS 22/SEP/2016 USD
|
78,706
|
|
208,402
|
BAYVIEW COMMERCIAL ASSET TRUST 2005-3A A1 VAR
|
155,971
|
|
117,794
|
BAYVIEW COMMERCIAL ASSET TRUST 2005-4 A-2 14
|
81,319
|
|
125,000
|
BEAR STEARNS CO 7.25% BDS 01/FEB/2018 USD1000
|
150,320
|
|
100,000
|
BEAR STEARNS COMM MTG SEC 2005-T20 A4A
|
111,018
|
|
305,000
|
BEAR STEARNS COMMERCIAL MORTGAGE SECURITIES TRUST
|
328,968
|
|
125,000
|
BERKSHIRE HATHAWAY FINANCE CORP 5% GTD SNR NTS
|
135,467
|
|
25,000
|
BERKSHIRE HATHAWAY FINANCE CORP 5.4% SNR NOTE
|
29,328
|
|
100,000
|
CHASE CAPITAL VI FLTG RATE NTS 01/AUG/2028 USD1000
|
68,665
|
|
50,000
|
CITIGROUP INC 5.30% 07/JAN/2016
|
53,126
|
|
125,000
|
CITIGROUP INC 6.125% NTS 15/MAY/2018 USD1000
|
131,495
|
|
145,000
|
CITIGROUP INC 8.125% BDS 15/JUL/2039 USD1000
|
182,961
|
|
100,000
|
CITIGROUP INC GLBL SR NT 6% 15/AUG/2017
|
107,063
|
|
75,000
|
COCA-COLA ENTERPRISES INC 7.375% NTS 03/MAR/2014
|
87,000
|
|
75,000
|
COMCAST CORP 5.875% BD15/FEB/2018 USD1000
|
88,385
|
|
75,000
|
COMCAST CORP 6.4% BDS 01/MAR/2040 USD2000
|
94,830
|
|
165,000
|
COMMERCIAL MORTGAGE TRUST FR CMO 10/JUL/2038
|
184,110
|
|
15,488
|
CONTINENTAL AIRLINES INC 7.707% BDS 02/OCT/2022
|
16,886
|
|
114,008
|
CONTINENTAL AIRLINES INC 9% BDS 08/JUL/2016
|
130,340
|
55,769
|
CONTINENTAL AIRLINES PASS THRU TST 5.983% CMO
|
58,734
|
|
125,000
|
CREDIT SUISSE AG 5.5% SNR MTN 01/MAY/2014 USD
|
131,073
|
|
75,000
|
DAIMLERCHRYSLER NA HOLDINGS CORPORATION 6.5%
|
82,313
|
|
100,000
|
DUKE REALTY CORP 5.875% 15/AUG/2012
|
104,363
|
|
100,000
|
ENTERGY TEX INC 3.6% BDS 01/JUN/2015 USD1000
|
104,077
|
|
100,000
|
ERP OPERATING FLTG RTE NTS 13/APR/2015 USD1000
|
111,738
|
|
100,000
|
FIRST CHICAGO NBD CORP FLTG RATE NOTES 01/FEB/2027
|
69,255
|
|
75,000
|
GENERAL ELEC CAP CORP 5.50% 08/JAN/2020
|
84,504
|
|
75,000
|
GENERAL ELECTRIC CAPITAL CORP 4.8% MTN 01/MAY/2013
|
79,116
|
|
100,000
|
GENERAL ELECTRIC CAPITAL CORP 5.875% BDS
|
108,684
|
|
75,000
|
GENERAL ELECTRIC CAPITAL CORP 6.875% BDS
|
92,302
|
|
100,000
|
GENERAL ELECTRIC CAPITAL CORP FLTG RATE MTN
|
74,151
|
|
18,000
|
GENERAL MILLS INC 5.65% NTS 10/SEP/2012 USD1000
|
18,866
|
|
36,000
|
GENERAL MILLS INC 6% NOTES 15/FEB/2012 USD1000
|
37,025
|
|
125,000
|
GOLDMAN SACHS GROUP INC 5.375% 15/MAR/2020
|
125,356
|
|
50,000
|
GOLDMAN SACHS GROUP INC 6.00% 15/JUN/2020
|
51,351
|
|
175,000
|
GOLDMAN SACHS GROUP INC 6.15% BDS 01/APR/2018
|
183,306
|
|
210,000
|
GREENWICH CAPITAL COMMERCIAL FUNDING CORP 5.444%
|
228,254
|
|
185,000
|
HCP INC BDS 15/SEP/2016 USD1000
|
206,409
|
|
125,000
|
HEALTH CARE REIT INC 6.125% BDS 15/APR/2020
|
131,131
|
|
50,000
|
HEALTHCARE REALTY TRUST INC 6.5% SNR NTS
|
55,177
|
|
175,000
|
HSBC HLDGS 4.875% BDS 14/JAN/2022 USD1000
|
185,999
|
|
50,000
|
IUNITED DOMINION RLTY TR
|
54,392
|
|
75,000
|
JOHN DEERE CAPITAL CORP 4.9% MTN 09/OCT/2013
|
81,170
|
|
50,000
|
JP MORGAN CHASE BK NEW YORK NY 6% BDS 01/OCT/2017
|
54,535
|
|
50,000
|
JPM CHASE CAPITAL XXV 7% BDS 01/NOV/2039 USD1000
|
50,896
|
|
100,000
|
JPMORGAN CHASE & CO FR CAP SECS 'U' 15/JAN/2087
|
71,064
|
|
150,000
|
KOREA DEVELOPMENT BANK 8% BDS 23/JAN/2014 USD1000
|
170,307
|
|
100,000
|
KRAFT FOODS INC 6.5% BDS 09/FEB/2040 USD1000
|
132,658
|
|
75,000
|
KROGER CO 7.5% BDS 15/JAN/2014 USD1000
|
86,412
|
|
100,000
|
LIBERTY PROP LP 53117CAJ1 5.125 02/MAR/2015
|
106,755
|
|
100,000
|
LLOYDS TSB BANK PLC 6.375% BDS 21/JAN/2021 USD1000
|
103,047
|
|
75,000
|
MCKESSON HBOC INC 5.7% BDS 01/MAR/2017 USD1000
|
88,926
|
|
75,000
|
MIDAMERICAN ENERGY HLDGS 6.125% BDS 01/APR/2036
|
90,725
|
|
125,000
|
MORGAN STANLEY 5.45% NTS 09/JAN/2017 USD1000
|
123,600
|
|
125,000
|
MORGAN STANLEY 6.6250% 01/APR/2018
|
125,501
|
|
50,000
|
MORGAN STANLEY 7.3% BDS 13/MAY/2019 USD100000
|
51,409
|
|
220,000
|
MORGAN STANLEY CAPITAL I TRUST FR CMO 12/NOV/2049
|
243,918
|
|
50,000
|
NBC UNIVERSAL MEDIA LLC 5.150% SNR NT 30/APR/2020
|
56,105
|
|
147,423
|
NCUA GTD NTS MASTER TRUST VAR MTG BDS 08/DEC/2020
|
148,062
|
|
293,359
|
NCUA GTD NTS TRUST 2010-R1 FR MTG BDS 07/OCT/2020
|
293,826
|
|
267,474
|
NCUA GTD NTS TRUST 2010-R2 FLTG RATE GTD NTS
|
267,593
|
|
166,789
|
NCUA GTD NTS TRUST 2010-R2 VAR MTG BDS 05/NOV/2020
|
166,875
|
|
375,339
|
NCUA GTD NTS TRUST 2011-R1 VAR MTG BDS 08/JAN/2020
|
376,174
|
|
335,898
|
NCUA GTD NTS TRUST 2011-R2 VAR MTG BDS 06/FEB/2020
|
336,056
|
|
128,141
|
NCUA GUARANTEED NOTES TRUST 2010-R3 II-A VARIABLE
|
128,736
|
|
350,206
|
NCUA GUARANTEED NOTES TRUST 2011-C1 II-A VARIABLE
|
351,004
|
|
25,000
|
NEWS AMERICA INC 6.15% SNR NTS 01/MAR/2037 USD1000
|
27,840
|
|
50,000
|
NEWS AMERICA INC 6.4% SNR NTS 15/DEC/2035 USD1000
|
54,932
|
|
100,000
|
PANHANDLE EASTERN PIPE LINE CO 7% SNR NTS
|
114,928
|
|
25,000
|
PETROBRAS INTERNATIONAL FINANCE 6.875% BDS
|
29,723
|
|
75,000
|
PETROBRAS INTERNATIONAL FINANCE 7.875% GTD BDS
|
91,266
|
|
100,000
|
PRUDENTIAL FINANCIAL INC 6.625% 21/JUN/2040
|
110,654
|
|
125,000
|
PUBLIC SVC CO NEW MEXICO SR UNSEC NT 21
|
128,614
|
|
75,000
|
ROHM&HAAS HLDGS 6% 15/SEP/2017
|
86,601
|
|
100,000
|
ROYAL BANK OF SCOTLAND PLC 4.875% BDS 16/MAR/2015
|
97,040
|
|
75,000
|
SAFEWAY INC 5.8% 15/AUG/2012
|
78,657
|
|
125,000
|
SIMON PROPERTY GROUP INC 5.875% BDS 01/MAR/2017
|
145,217
|
|
75,000
|
SOUTHERN COPPER CORP 7.5% SNR NTS 27/JUL/2035
|
84,329
|
|
75,000
|
SOUTHERN POWER COMPANIES 4.875% NTS 15/JUL/2015
|
83,764
|
|
100,000
|
SPECTRA ENERGY CAPITAL LLC 7.5% BDS 15/SEP/2038
|
132,326
|
|
75,000
|
TELECOM ITALIA CAPITAL 6% NTS 30/SEP/2034 USD1000
|
56,710
|
|
75,000
|
TELECOM ITALIA CAPITAL 7.175% BDS 18/JUN/2019
|
70,477
|
|
140,000
|
TIAA REAL ESTATE VAR BDS 15/AUG/2039 USD10000
|
151,871
|
|
100,000
|
TIME WARNER CABLE 4% GTD 01/SEP/2021 USD
|
102,384
|
|
25,000
|
TIME WARNER CABLE 7.5% SNR NTS 01/APR/2014 USD
|
28,460
|
|
50,000
|
TIME WARNER ENT 8.375% SUB NTS 15/JUL/2033 USD1000
|
67,467
|
|
125,000
|
TUSCON ELECTRIC POWER 5.15% BDS 15/NOV/2021
|
133,653
|
|
50,000
|
UNITED DOM RLTY 5.13%15/JAN/2014
|
52,825
|
125,000
|
US BANCORP 4.2% NTS 15/MAY/2014 USD1000
|
134,499
|
|
75,000
|
VERIZON COMMUNICATIONS INC 6.9% BDS 15/APR/2038
|
101,337
|
|
100,000
|
WASTE MANAGEMENT INC 7% SNR NOTES 13/JUL/2028
|
128,608
|
|
75,000
|
WELLPOINT INC 7.00% BDS 15/FEB/2019 USD1000
|
92,476
|
|
50,000
|
WELLS FARGO COMPANY 4.375% 31/JAN/2013
|
52,593
|
|
100,000
|
XEROX CORP 5.5% SNR NTS 15/MAY/2012 USD1000
|
102,361
|
|
Total Corporate Debt Securities
|
$
|
12,142,693
|
|
Government Bonds
|
|||
100,000
|
BAY AREA TOLL AUTH CALIF 6.263% BDS 01/APR/2049
|
$
|
132,038
|
50,000
|
CALIFORNIA ST FOR PREVIOUS ISSUES SEE 13063A
|
59,016
|
|
50,000
|
CALIFORNIA STATE 7.55% BDS 01/APR/2039 USD5000
|
62,080
|
|
40,000
|
CALIFORNIA STATE 7.625% MUNI BDS 01/MAR/2040
|
50,231
|
|
330,000
|
FEDERAL FARM CR BKS CONS BD FLT 12 08/AUG/2012
|
330,114
|
|
50,000
|
ILLINOIS (STATE OF) 4.071% BDS 01/JAN/2014 USD5000
|
52,356
|
|
75,000
|
ILLINOIS (STATE OF) 4.421% BDS 01/JAN/2015 USD1000
|
79,291
|
|
40,000
|
ILLINOIS ST FOR ISSUES DTD PRIOR TO 01/16/2010 SEE
|
43,850
|
|
75,000
|
ISRAEL ST BD DTD 13/JUN/2003 DUE 15/JUN/2013
|
78,275
|
|
175,000
|
NEW YORK NY CITY MUN WTR FIN AUTH 6.011% BDS
|
220,922
|
|
50,000
|
ONTARIO(PROVINCE OF) 5.45% BDS 27/APR/2016 USD5000
|
58,544
|
|
125,000
|
REPUBLIC OF POLAND 6.25% DUE 03/JUL/2012
|
132,313
|
|
50,000
|
SAN DIEGO CNTY CALIF WTR AUTH FING 6.138% BDS
|
63,386
|
|
1,130,000
|
UNITED STATES OF AMER TREAS NOTES 3% 15/JUL/2012
|
1,473,648
|
|
440,000
|
UNITED STATES TREAS BDS 04.375% 15/MAY/2041
|
575,792
|
|
4,920,000
|
UNITED STATES TREAS NTS 2.125% 15/AUG/2021
|
5,081,351
|
|
775,000
|
US Treasury Note - .875%, 1/31.2010 (912828JY7)
|
775,484
|
|
Total Government Bonds
|
$
|
9,268,691
|
|
Mortgage Backed Securities
|
|||
1,369,452
|
FANNIE MAE 2004-97 ZH 4.500% 25/JAN/2035
|
$
|
1,492,463
|
436,510
|
FED HOME LOAN MTG 5.5% MBPT 01/JAN/2038 USD1000
|
476,243
|
|
337,575
|
FEDERAL HOME LN MTG CORP PTN CTFS 4% MTG BDS
|
357,433
|
|
660,000
|
FEDERAL HOME LN MTG CORP VAR RT 12/OCT/2012
|
660,502
|
|
175,000
|
FEDERAL HOME LOAN MORTGAGE CORP 0.6% NTS
|
175,217
|
|
360,000
|
FEDERAL HOME LOAN MORTGAGE CORP 0.75% BDS
|
360,902
|
|
357,193
|
FEDERAL HOME LOAN MORTGAGE CORP 4.0% BDS
|
378,206
|
|
330,000
|
FEDERAL NATIONAL MORTGAGE ASSOC 0.2835% BDS
|
330,372
|
|
685,000
|
FEDERAL NATIONAL MORTGAGE ASSOC 0.6% NTS
|
686,381
|
|
700,000
|
FEDERAL NATIONAL MORTGAGE ASSOC 3.00% MTG BDS
|
722,859
|
|
521,274
|
FEDERAL NATIONAL MORTGAGE ASSOC 5% MBPT
|
565,900
|
|
325,000
|
FEDERAL NATIONAL MORTGAGE ASSOC VAR MTG BDS
|
325,338
|
|
378,179
|
FEDERAL NATIONAL MORTGAGE ASSOCIATION 5.0% POOL
|
410,554
|
|
72,454
|
FHLMC MORTPASS ARM 01/APR/2037 1N PN# 1N1454
|
77,415
|
|
140,300
|
FHLMC MORTPASS ARM 01/FEB/2037 1G PN# 1G2628
|
148,645
|
|
47,030
|
FHLMC MORTPASS ARM 01/SEP/2037 1G PN# 1G2201
|
51,270
|
|
60,000
|
FHLMC REMIC SERIES 3.974% MTG BDS 25/JAN/2021
|
66,167
|
|
652,441
|
FHLMC REMIC SERIES 3197 DZ 15/AUG/2036 5.00000
|
727,778
|
|
195,000
|
FHLMCGLD MORTPASS 3.5% 01/DEC/2041 Q0 PN# Q05261
|
200,753
|
|
392,733
|
FHLMCGLD MORTPASS 4% 01/OCT/2041 Q0 PN# Q04091
|
415,837
|
|
235,465
|
FHLMCGLD MORTPASS 4.5% 01/JUN/2041 Q0 PN# Q01638
|
252,521
|
|
393,011
|
FHLMCGLD MORTPASS 5.5% 01/NOV/2037 G0 PN# G03695
|
429,215
|
|
369,327
|
FHLMCGLD MORTPASS 6.5% 01/MAY/2034 P5 PN# P50216
|
418,197
|
|
534,223
|
FNMA MORTPASS 3.5% 01/DEC/2041 CL PN# AB4044
|
551,792
|
|
158,133
|
FNMA MORTPASS 3.703% 01/SEP/2020 XY PN# FN0000
|
169,624
|
|
163,065
|
FNMA MORTPASS 3.787% 01/OCT/2020 XY PN# AE0918
|
175,732
|
|
158,233
|
FNMA MORTPASS 3.888% 01/DEC/2020 XY PN# FN0001
|
171,366
|
|
743,552
|
FNMA MORTPASS 4% 01/AUG/2029 CT PN# MA0142
|
788,223
|
|
84,208
|
FNMA MORTPASS 4.444% 01/JAN/2021 XY PN# FN0003
|
93,935
|
|
259,345
|
FNMA MORTPASS 4.5% 01/JUL/2029 CT PN# MA0115
|
278,345
|
|
771,425
|
FNMA MORTPASS 4.5% 01/MAY/2048 CZ PN# 257280
|
816,490
|
|
550,190
|
FNMA MORTPASS 5% 01/AUG/2047 CZ PN# 995963
|
591,789
|
|
479,996
|
FNMA MORTPASS 5% 01/SEP/2033 CL PN# 738567
|
521,088
|
|
138,173
|
FNMA MORTPASS 5.5% 01/JUN/2036 CL PN# 889745
|
151,678
|
|
231,272
|
FNMA MORTPASS 6.5% 01/AUG/2037 CL PN# 936879
|
260,285
|
1,400,000
|
FREDDIE MAC 3048 QJ 5.000% 15/OCT/2025
|
1,565,722
|
|
219,149
|
FREDDIE MAC 3345 FN,07- VARIABLE 15/NOV/2036
|
218,426
|
|
221,833
|
FREDDIE MAC 3345 PF VARIABLE 15/MAY/2036
|
221,077
|
|
Total Mortgage Backed Securities
|
$
|
16,305,740
|
|
Registered Investment Companies
|
|||
2,742
|
ABERDEEN GLOBAL NATURAL RESOURCES FD INSTL SVC CL
|
$
|
43,454
|
191
|
ADVISORS INNER CIRCLE FD ACADIAN EMERGING MKTS INSTL CL
|
3,037
|
|
171
|
ADVISORS INNER CIRCLE FD CAMBIAR AGGR VALUE FD INV CL
|
1,774
|
|
3,138
|
ADVISORS INNER CIRCLE FD RICE HALL JAMES SMALL MID CAP
|
38,979
|
|
61
|
ADVISORS SER TR CHASE MID-CAP GROWTH FD CL A
|
2,094
|
|
3,214
|
AEGIS HIGH YIELD FUND
|
29,083
|
|
1,561
|
ALLIANCEBERNSTEIN INTL VALUE FUND ADVISOR CL
|
16,559
|
|
521
|
ALLIANZ FDS NFJ SMALL CAP VALUE FD CL D
|
14,874
|
|
916
|
ALLIANZ FDS RCM GLOBAL COMMODITY FD CL D
|
13,719
|
|
151
|
ALLIANZ NFJ INTL VALUE FD CL D
|
2,699
|
|
957
|
ALLIANZ RCM TECHNOLOGY FUND CLASS D
|
40,072
|
|
8,938
|
ALPINE DYNAMIC DIVIDEND FUND RETAIL CLASS
|
32,267
|
|
2,359
|
ALPINE INTERNATIONAL REAL ESTATE EQUITY FUND-CL Y
|
42,265
|
|
2,374
|
ALPINE REALTY INCOME AND GROWTH FD CL Y
|
37,041
|
|
2,363
|
AMANA MUT FDS TR DEVELOPING WORLD FD
|
23,721
|
|
20,243
|
AMANA MUT FDS TR GROWTH FD
|
490,700
|
|
14,323
|
AMANA MUT FDS TR INCOME FD
|
454,752
|
|
252
|
AMERICAN BALANCED FD INC CL R-3
|
4,579
|
|
1,778
|
AMERICAN BALANCED FD INC CL R-5
|
32,388
|
|
1,991
|
AMERICAN BEACON BALANCED FD INVESTOR CL
|
23,831
|
|
1,146
|
AMERICAN BEACON EMERGING MKTS FD INVESTOR CL
|
11,565
|
|
3,626
|
AMERICAN BEACON LARGE CAP VALUE FUND INVESTOR CLASS
|
63,968
|
|
2,683
|
AMERICAN CAPITAL INCOME BUILDER CL A
|
132,056
|
|
4,548
|
AMERICAN CENTURY CAPITAL VALUE FD INVESTOR CLASS
|
27,196
|
|
916
|
AMERICAN CENTURY DIVERSIFIED BOND FUND INVESTOR CLASS
|
10,055
|
|
10,031
|
AMERICAN CENTURY EMERGING MARKETS INVESTOR CLASS
|
70,618
|
|
1,096
|
AMERICAN CENTURY EQUITY GROWTH INVESTOR CLASS
|
23,488
|
|
38,767
|
AMERICAN CENTURY EQUITY INCOME INVESTOR CLASS
|
281,835
|
|
6,219
|
AMERICAN CENTURY GLOBAL GOLD FUND INVESTOR CLASS
|
122,707
|
|
1,667
|
AMERICAN CENTURY HERITAGE FD INVESTOR CLASS
|
32,687
|
|
1,430
|
AMERICAN CENTURY HIGH YIELD BOND FUND INVESTOR CLASS
|
8,337
|
|
15,591
|
AMERICAN CENTURY INFLATION ADJUSTED BOND INVESTOR CLASS
|
198,629
|
|
790
|
AMERICAN CENTURY INTERNATIONAL BOND INVESTOR CL
|
11,285
|
|
243
|
AMERICAN CENTURY ONE CHOICE VERY AGGRESSIVE INV CLASS
|
2,811
|
|
429
|
AMERICAN CENTURY REAL ESTATE FUND INVESTOR CLASS
|
8,678
|
|
1,273
|
AMERICAN CENTURY ULTRA FUND INVESTOR CLASS
|
29,185
|
|
3,357
|
AMERICAN CENTURY UTILITIES FUND INVESTOR CLASS
|
53,177
|
|
1,591
|
AMERICAN CENTURY VISTA FUND INVESTOR CLASS
|
24,446
|
|
112
|
AMERICAN CENTURY ZERO COUPON 2015 INVESTOR CL
|
12,628
|
|
4,838
|
AMERICAN CENTY ASSET ALLOC LIVESTRONG 2025 PORT INV CL
|
56,121
|
|
424
|
AMERICAN CENTY CAP PORTFOLIO MID CAP VALUE FD INV CL
|
4,957
|
|
7,642
|
AMERICAN FDS MONEY MKT FD CL A
|
7,642
|
|
3,514
|
AMERICAN HIGH INCOME TR CL R-3
|
37,464
|
|
200
|
AMERICAN HIGH INCOME TR CL R-5
|
2,127
|
|
2,143
|
AQR FDS DIVERSIFIED ARBITRAGE FD CL N
|
23,248
|
|
50
|
ARIEL APPRECIATION FUND-CL A
|
1,945
|
|
237
|
ARTIO GLOBAL INVT FDS GLOBAL HIGH INCOME FD CL A
|
2,304
|
|
1,728
|
ARTIO GLOBAL INVT FDS TOTAL RETURN BD FD CL A
|
23,654
|
|
1,571
|
ARTIO GLOBAL INVT FDS US SMALLCAP FD CL A
|
14,889
|
|
1,024
|
ARTISAN FDS INC ARTISAN VALUE FUND
|
10,230
|
|
1,143
|
ARTISAN FDS INC MID CAP VALUE FD INV SHS
|
22,521
|
|
221
|
ARTISAN FUNDS INC INTERNATIONAL FUND
|
4,381
|
|
2,101
|
ARTISAN FUNDS INC SMALL CAP VALUE FUND
|
31,352
|
|
214
|
ARTISAN INTERNATIONAL VALUE FUND INV SHS
|
5,368
|
|
1,613
|
ASTON FUNDS TAMRO DIVERSIFIED EQUITY FD CL N
|
19,334
|
|
637
|
ASTON/FAIRPOINTE MID CAP FUND CLASS N
|
18,838
|
|
943
|
BAIRD AGGREGATE BOND FUND INV CL
|
10,311
|
|
868
|
BAIRD FDS INC INTER MUN BD FD INV CL SHS
|
10,573
|
|
999
|
BARON GROWTH FUND
|
50,939
|
3,271
|
BARON SELECT FDS BARON PARTNERS FD
|
63,420
|
|
5,650
|
BARON SMALL CAP FUND
|
129,545
|
|
3,305
|
BBH INTERNATIONAL EQUITY FD CL N
|
38,800
|
|
5,184
|
BERWYN FDS INC INCOME FUND
|
66,715
|
|
800
|
BERWYN FUND INC
|
23,008
|
|
918
|
BLACKROCK ENERGY & RESOURCES PORTFOLIO FUND CL A
|
29,593
|
|
3,346
|
BLACKROCK EQUITY DIVIDEND FUND SVC CL
|
60,693
|
|
764
|
BLACKROCK FDS INFLATION PROTECTED BD SVC
|
8,911
|
|
2,469
|
BLACKROCK FUNDS HIGH YIELD BD PORT SERVICE CL
|
18,246
|
|
737
|
BLACKROCK FUNDS-SMALL CAP GROWTH EQUITY PORTFOLIO INV A
|
15,707
|
|
361
|
BLACKROCK GLOBAL ALLOCATION FD INC CL C
|
6,113
|
|
2,434
|
BLACKROCK LARGE CAP SER FDS INC LARGE CAP CORE FD INSTL CL
|
26,950
|
|
23
|
BLACKROCK LATIN AMER FD INC CL A
|
1,307
|
|
54
|
BLACKROCK LATIN AMER FD INC CL C
|
2,815
|
|
84
|
BLACKROCK NAT RES TR CL A
|
4,855
|
|
2,370
|
BLACKROCK STRATEGIC INCOME OPPORTUNITIES PORTFOLIO CL A
|
22,540
|
|
9,701
|
BOND FD AMER INC CL R-3
|
121,743
|
|
899
|
BOND FD AMER INC CL R-5
|
11,279
|
|
3,616
|
BRANDYWINE BLUE FUND INC
|
83,122
|
|
531
|
BRANDYWINE FUND INC
|
11,830
|
|
7,731
|
BRIDGEWAY FD INC AGGRESSIVE INVS II
|
95,473
|
|
3,700
|
BRIDGEWAY FD INC ULTRA SMALL COMPANY MARKET FD
|
47,661
|
|
791
|
BRIDGEWAY FDS INC LARGE CAP GROWTH FD CL N
|
9,682
|
|
3,873
|
BRIDGEWAY FDS INC SMALL-CAP GROWTH FD CL N
|
42,407
|
|
626
|
BRIDGEWAY FDS INC SMALL-CAP VALUE FD CL N
|
8,521
|
|
401
|
BRIDGEWAY FUND INC AGGRESSIVE INVESTOR CL 1
|
12,489
|
|
614
|
BROWN CAP MGMT MUT FDS BROWN CAP MGMT SMALL CO FD INV
|
26,879
|
|
4,324
|
BUFFALO FDS MID CAP FD
|
67,452
|
|
5,634
|
BUFFALO HIGH YIELD FUND INC
|
61,688
|
|
2,471
|
BUFFALO SMALL CAP FD INC
|
61,604
|
|
274
|
CAPITAL INCOME BLDR FD CL R-3
|
13,488
|
|
860
|
CAPITAL INCOME BLDR FD CL R-5
|
42,349
|
|
632
|
CAPITAL INCOME BUILDER FD CL F1
|
31,110
|
|
1,723
|
CAPITAL WORLD BD FD CL R-5
|
35,296
|
|
1,197
|
CAPITAL WORLD GROWTH & INCOME FD INC CL R-3
|
38,252
|
|
1,147
|
CAPITAL WORLD GROWTH & INCOME FD INC CL R-5
|
36,829
|
|
81
|
CAPITAL WORLD GROWTH & INCOME FUND CLASS A
|
2,605
|
|
414
|
CAPITAL WORLD GROWTH & INCOME FUND INC CL F1
|
13,266
|
|
556
|
CAUSEWAY EMERGING MKTS FD INV CLASS
|
5,496
|
|
4,143
|
CGM FOCUS FUND
|
106,262
|
|
301
|
CLIPPER FUND INC
|
18,812
|
|
1,411
|
COHEN & STEERS REALTY SHARES INC
|
85,831
|
|
3,374
|
COLUMBIA ACORN TR FD CL Z
|
92,989
|
|
308
|
COLUMBIA ACORN TR INTL CL Z
|
10,581
|
|
1,327
|
COLUMBIA EMERGING MARKETS CL Z
|
11,717
|
|
2,755
|
COLUMBIA ENERGY AND NATURAL RESOURCES CLASS Z
|
55,624
|
|
6,062
|
COLUMBIA FDS SER TR I DIVIDEND INCOME CL Z
|
82,566
|
|
1,037
|
COLUMBIA FDS SER TR I MID CAP GROWTH FD CL Z
|
25,581
|
|
677
|
COLUMBIA FDS SER TR I SMALL CAP GROWTH FD I CL Z
|
18,364
|
|
345
|
COLUMBIA FDS SER TR INTL VALUE FD CL Z
|
4,172
|
|
3,408
|
COLUMBIA FDS SER TR SHORT TERM BD FD CL Z
|
33,606
|
|
213
|
COLUMBIA FDS SER TR SMALL CAP VALUE II FD CL A
|
2,830
|
|
2,178
|
COLUMBIA FDS SER TR SMALL CAP VALUE II FD CL Z
|
29,137
|
|
2,601
|
COLUMBIA SELECT LARGE CAP GROWTH CLASS Z
|
31,258
|
|
2,621
|
COLUMBIA VALUE AND RESTRUCTURING CLASS Z
|
116,539
|
|
328
|
CONESTOGA FDS SMALL CAP FD
|
7,408
|
|
5,775
|
CROFT FDS CORP CROFT-LEOMINSTER VALUE FD
|
124,689
|
|
1,751
|
DAVIS NEW YORK VENTURE FUND INC-CL A
|
56,894
|
|
5,104
|
DAVIS NEW YORK VENTURE FUND INC-CL Y
|
167,518
|
|
600
|
DELAWARE SELECT GROWTH FUND INSTITUTIONAL CLASS
|
21,726
|
|
644
|
DELAWARE SELECT GROWTH FUND-CL C
|
19,421
|
|
269
|
DELAWARE SMID CAP GROWTH FUND CL C
|
4,795
|
|
3,842
|
DELAWARE SMID CAP GROWTH FUND CL I
|
96,973
|
|
266
|
DIREXION FDS MNTHLY COMMODITY BULL 2X INV
|
13,696
|
|
258
|
DIREXION FDS MNTHLY LATIN AMER BULL 2X INV
|
10,301
|
353
|
DIREXION FDS MNTHY NASDQ 100 BULL 2X INV CL
|
29,138
|
|
58
|
DIREXION FDS MONTHLY DOLLAR BEAR 2X FD INV
|
1,186
|
|
760
|
DIREXION FDS MONTHLY S&P 500 BULL 2X FD INV
|
29,614
|
|
496
|
DODGE & COX BALANCED FUND
|
33,442
|
|
1,360
|
DODGE & COX FDS GLOBAL STK FD
|
10,442
|
|
1,665,907
|
DODGE & COX FUNDS INTERNATIONAL STOCK FUND
|
48,711,117
|
|
15,266
|
DODGE & COX INCOME FUND
|
203,038
|
|
346
|
DODGE & COX STOCK FUND
|
35,142
|
|
2,982
|
DOUBLELINE FDS TR TOTAL RETURN BD FD CL N
|
32,862
|
|
1,507
|
DREYFUS APPRECIATION FUND INC
|
61,098
|
|
130
|
DREYFUS EMERGING ASIA FD CL C
|
924
|
|
83
|
DREYFUS EMERGING ASIA FD CL I
|
613
|
|
325
|
DREYFUS GLOBAL REAL ESTATE SECURITIES FD CLASS I
|
2,195
|
|
2,029
|
DREYFUS GREATER CHINA FD CL C
|
54,208
|
|
715
|
DREYFUS GREATER CHINA FD CL I
|
22,016
|
|
122
|
DREYFUS INTERNATIONAL BOND FUND CLASS C
|
1,958
|
|
2,631
|
DREYFUS INTL BOND FUND CL I
|
43,076
|
|
1,629
|
DREYFUS MIDCAP INDEX FUND
|
42,235
|
|
518
|
DREYFUS/LAUREL FUNDS INC BOND MARKET INDEX FUND INV SHS
|
5,680
|
|
17,408
|
DRIEHAUS MUT FDS EMERGING MKTS GROWTH FD
|
447,564
|
|
5,082
|
DUNDEEWEALTH FDS DYNAMIC ENERGY INCOME FD CL I
|
69,934
|
|
479
|
DUNDEEWEALTH FDS DYNAMIC GOLD & PRECIOUS METALS CL I
|
7,455
|
|
1,254
|
DUNDEEWEALTH FDS DYNAMIC US GROWTH FD CL I
|
23,937
|
|
2,631
|
DWS ADVISOR FUNDS SHORT DURATION FD CL S
|
24,206
|
|
4,346
|
DWS PORTFOLIO TR FLTG RATE FD CL S
|
39,419
|
|
5,334
|
DWS SECS TR ENHANCED COMMODITY STRATEGY FD CL S
|
18,134
|
|
57
|
DWS VALUE SER INC SMALL CAP VALUE FD INSTL CL
|
1,848
|
|
107
|
EATON VANCE DIVIDEND BUILDER FD CL A
|
1,047
|
|
1,192
|
EATON VANCE LARGE CAP VALUE FUND CL A
|
20,416
|
|
1,292
|
EURO PAC GROWTH FD CL R-5
|
45,322
|
|
462
|
EURO PAC GROWTH FUND CL F1
|
16,168
|
|
601
|
EURO PACIFIC GROWTH FUND CLASS A
|
21,119
|
|
9,500
|
EUROPACIFIC GROWTH FD SHS CL F-2
|
333,541
|
|
20,188
|
FAIRHOLME FUNDS INC COM
|
467,356
|
|
193
|
FBR FDS LARGE CAP FINL FD
|
2,212
|
|
412
|
FBR FDS SMALL CAP FINL FD
|
6,795
|
|
490
|
FBR FOCUS FUND
|
22,652
|
|
5,607
|
FBR GAS UTILITY INDEX FD
|
121,665
|
|
202
|
FEDERATED EQUITY FDS CAP APPREC FD CL R
|
3,594
|
|
1,574
|
FEDERATED EQUITY FDS PRUDENT BEAR FD CL A SHS
|
6,878
|
|
8,441
|
FEDERATED HIGH YIELD TRUST SBI
|
48,366
|
|
459
|
FEDERATED PRUDENT DOLLARBEAR FUND CL A
|
5,488
|
|
219
|
FENIMORE ASSET MANAGEMENT TR FAM VALUE FUND
|
9,892
|
|
288
|
FIDELITY ADVISOR EMERGING ASIA FD CL I
|
7,533
|
|
110
|
FIDELITY ADVISOR ENERGY CL I
|
3,885
|
|
5,210
|
FIDELITY ADVISOR FREEDOM 2050 FD INSTL
|
45,277
|
|
199
|
FIDELITY ADVISOR HIGH INCOME FUND CL I
|
1,751
|
|
477
|
FIDELITY BALANCED FUND
|
8,685
|
|
382
|
FIDELITY BLUE CHIP GROWTH FUND
|
16,211
|
|
5,002
|
FIDELITY CANADA FUND
|
250,804
|
|
18,036
|
FIDELITY CAPITAL & INCOME FUND
|
156,372
|
|
3,686
|
FIDELITY CASH RESERVES
|
3,686
|
|
3,016
|
FIDELITY CHINA REGION FUND
|
76,268
|
|
9,549
|
FIDELITY CONCORD STR SPARTAN U S EQI INDX FD ADVANTAGE CL
|
424,845
|
|
296
|
FIDELITY CONSUMER FINANCE PORTFOLIO
|
3,271
|
|
5,733
|
FIDELITY CONTRAFUND
|
386,745
|
|
1,069
|
FIDELITY DIVERSIFIED INTL FUND
|
27,293
|
|
1,146
|
FIDELITY DIVIDEND GROWTH FD
|
29,656
|
|
521
|
FIDELITY EMERGING ASIA FUND
|
13,130
|
|
1,498
|
FIDELITY EMERGING MARKETS FD
|
30,746
|
|
865
|
FIDELITY ENVIRONMENT AND ALTERNATIVE ENERGY PORTFOLIO
|
13,034
|
|
278
|
FIDELITY EUROPE CAP APPRECTN FD
|
4,303
|
|
465
|
FIDELITY EUROPE FUND
|
11,855
|
|
544
|
FIDELITY EXPORT AND MULTINTL FUND
|
11,258
|
|
16,518
|
FIDELITY FLOATING RATE HIGH INCOME FD
|
159,232
|
2,778
|
FIDELITY FREEDOM 2025 FUND
|
30,032
|
|
1,479
|
FIDELITY GNMA FUND
|
17,515
|
|
9,295
|
FIDELITY GOVERNMENT INCOME FUND
|
100,107
|
|
921
|
FIDELITY HIGH INCOME FUND
|
7,954
|
|
629
|
FIDELITY INSTL INVS TR FREEDOM 2020
|
8,253
|
|
434
|
FIDELITY INTL DISCOVERY FUND
|
11,993
|
|
112
|
FIDELITY INTL REAL ESTATE FD
|
778
|
|
298
|
FIDELITY INTL SMALL CAP OPPS FD
|
2,757
|
|
3,910
|
FIDELITY INVT TR GLOBAL COMMODITY STK FD
|
54,509
|
|
343
|
FIDELITY JAPAN FUND
|
3,151
|
|
194
|
FIDELITY JAPAN SMALL COMPANIES FUND
|
1,659
|
|
1,314
|
FIDELITY LATIN AMERICA FUND
|
64,238
|
|
5,536
|
FIDELITY LEVERAGED COMPANY STOCK FUND
|
139,011
|
|
31,907
|
FIDELITY LOW PRICED STOCK FUND
|
1,140,019
|
|
990
|
FIDELITY MEGA CAP STOCK FUND
|
10,000
|
|
12,058
|
FIDELITY NEW MARKETS INCOME INCOME FUND
|
190,870
|
|
246
|
FIDELITY NEW MILLENNIUM FUND
|
7,103
|
|
95
|
FIDELITY NORDIC FUND
|
2,547
|
|
171
|
FIDELITY OTC PORTFOLIO
|
9,371
|
|
366
|
FIDELITY OVERSEAS FUND
|
9,691
|
|
6,417
|
FIDELITY PURITAN FUND
|
113,525
|
|
3,181
|
FIDELITY REAL ESTATE INCOME FD
|
32,607
|
|
3,299
|
FIDELITY REAL ESTATE INVSTMT PORTFOLIO
|
91,123
|
|
86
|
FIDELITY SELECT AUTOMOTIVE PORTFOLIO
|
2,674
|
|
4,345
|
FIDELITY SELECT BANKING PORT
|
69,396
|
|
2,140
|
FIDELITY SELECT BROKERAGE & INVT MGMT PORTFOLIO
|
85,520
|
|
766
|
FIDELITY SELECT CHEMICAL PORTFOLIO
|
72,887
|
|
200
|
FIDELITY SELECT COMMUNICATNS EQUIPMENT
|
4,415
|
|
45
|
FIDELITY SELECT COMPUTER PORTFOLIO
|
2,421
|
|
267
|
FIDELITY SELECT CONSTRUCTION & HOUSING PORTFOLIO
|
9,554
|
|
1,179
|
FIDELITY SELECT CONSUMER STAPLES
|
84,231
|
|
728
|
FIDELITY SELECT DEFENSE & AEROSPACE PORTFOLIO
|
56,746
|
|
1,036
|
FIDELITY SELECT ELECTRONICS PORTFOLIO
|
45,809
|
|
2,090
|
FIDELITY SELECT ENERGY PORT
|
103,133
|
|
441
|
FIDELITY SELECT ENERGY SERV PORTFOLIO
|
28,674
|
|
47
|
FIDELITY SELECT FINANCIAL SERVICES PORTFOLIO
|
2,293
|
|
2,455
|
FIDELITY SELECT GOLD PORT
|
103,686
|
|
689
|
FIDELITY SELECT HEALTH CARE PORTFOLIO
|
84,334
|
|
1,792
|
FIDELITY SELECT INDUSTRIAL EQUIPMENT PORTFOLIO
|
55,506
|
|
818
|
FIDELITY SELECT INDUSTRIALS
|
17,843
|
|
251
|
FIDELITY SELECT LEISURE PORT
|
24,216
|
|
1,630
|
FIDELITY SELECT MATERIALS
|
100,092
|
|
220
|
FIDELITY SELECT MEDICAL DELIVERY PORTFOLIOS
|
12,032
|
|
1,748
|
FIDELITY SELECT MEDICAL EQUIPMENT AND SYSTEMS
|
44,047
|
|
4,481
|
FIDELITY SELECT NATURAL GAS PORTFOLIO
|
136,308
|
|
2,366
|
FIDELITY SELECT NATURAL RESOURCES PORTFOLIO
|
74,028
|
|
555
|
FIDELITY SELECT PHARMACEUTICALS PORT
|
7,538
|
|
198
|
FIDELITY SELECT RETAILING PORTFOLIO
|
10,142
|
|
101
|
FIDELITY SELECT SOFTWARE & COMPUTER SVCS
|
7,859
|
|
1,335
|
FIDELITY SELECT TECHNOLOGY PORTFOLIO
|
115,429
|
|
66
|
FIDELITY SELECT TELECOMMTNS PORTFOLIO
|
2,905
|
|
666
|
FIDELITY SELECT TRANSPORT PORTFOLIO
|
32,917
|
|
1,047
|
FIDELITY SELECT UTILITIES PORTFOLIO
|
56,061
|
|
357
|
FIDELITY SELECT WIRELESS
|
2,587
|
|
597
|
FIDELITY SHORT TERM BOND FD
|
5,072
|
|
4,927
|
FIDELITY SMALL CAP DISCOVERY FD
|
98,694
|
|
427
|
FIDELITY SMALL CAP GROWTH FD
|
6,374
|
|
3,031
|
FIDELITY SPARTAN 500 INDEX INVESTOR CLASS
|
134,833
|
|
675
|
FIDELITY SPARTAN EXTENDED MKT INDEX FD INVESTOR CLASS
|
23,947
|
|
334
|
FIDELITY SPARTAN INTERNL INDEX FD INVESTOR CLASS
|
9,923
|
|
780
|
FIDELITY STRATEGIC DIV & INC FD
|
8,594
|
|
5,942
|
FIDELITY STRATEGIC INCOME FD
|
64,237
|
|
1,398
|
FIDELITY TELECOM AND UTILITIES FUND
|
24,249
|
|
704
|
FIDELITY TOTAL BOND FUND
|
7,683
|
|
228
|
FIDELITY TREND FUND INC
|
15,259
|
1,063
|
FIRST EAGLE OVERSEAS FUND CL C
|
21,166
|
|
7,373
|
FIRSTHAND TECHNOLOGY OPPORTUNITIES FUND
|
39,816
|
|
596
|
FMI COMMON STOCK FUND
|
14,347
|
|
211
|
FMI FOCUS FUND
|
5,942
|
|
22,062
|
FMI FUNDS INC LARGE CAP FUND
|
336,447
|
|
24,607
|
FMI MUTUAL FUNDS INC PROVIDENT TRUST STRATEGY FUND
|
203,257
|
|
2,787
|
FORESTER VALUE FD
|
33,418
|
|
2,515
|
FORUM FDS ABSOLUTE STRATEGIES FD INSTL
|
27,796
|
|
1,517
|
FORUM FDS MERK ABSOLUTE RETURN CURRENC
|
13,900
|
|
1,782
|
FORUM FDS MERK ASIAN CURRENCY FD INV SHS
|
16,783
|
|
1,661
|
FORUM FDS MERK HARD CURRENCY FD INVS SHS
|
19,566
|
|
970
|
FORWARD EMERGING MARKETS FUND INVESTOR CLASS
|
9,263
|
|
3,933
|
FPA FDS TR FPA CRESCENT PORTFOLIO INSTL
|
105,312
|
|
2,118
|
FPA NEW INCOME INC
|
22,560
|
|
18,296
|
FRANKLIN INCOME FDS SER CL C
|
38,787
|
|
232
|
FRANKLIN MUTUAL SER FUND INC FINANCIAL SERVICE FUND CL Z
|
2,675
|
|
856
|
FRANKLIN TEMPLETON FDS GOLD & PRECIOUS METALS ADVISOR CL
|
32,618
|
|
294
|
FRANKLIN TEMPLETON FDS GOLD & PRECIOUS METALS FD CL C
|
10,238
|
|
4,235
|
FRANKLIN TEMPLETON FUND STRATEGIC SER INCOME FUND CL-C
|
42,732
|
|
2,364
|
FRANKLIN TEMPLETON FUNDS MUTUAL BEACON FD CL C
|
27,286
|
|
1,519
|
FRANKLIN TEMPLETON FUNDS MUTUAL FINANCIAL SVCS FD CL C
|
17,547
|
|
351
|
FRANKLIN/TEMPLETON HARD CURRENCY FUND CL A
|
3,218
|
|
1,889
|
FUNDAMENTAL INVS INC CL F1
|
66,808
|
|
3,596
|
FUNDAMENTAL INVS INC CL R-5
|
127,314
|
|
1,994
|
GABELLI ASSET FUND-SBI
|
94,908
|
|
1,305
|
GABELLI EQUITY SERIES FUNDS INC-EQUITY INCOME FUND
|
26,692
|
|
276
|
GABELLI EQUITY SERIES FUNDS INC-SMALL CAPITAL GROWTH FUND
|
8,673
|
|
20,217
|
GABELLI UTILS FD CL AAA SHS
|
121,911
|
|
671
|
GAMCO GLOBAL SER FDS INC TELECOMMUNICATIONS FD CL AAA
|
12,485
|
|
1,692
|
GAMCO GOLD FD INC CL AAA
|
39,837
|
|
1,800
|
GAMCO INTL GROWTH FD INC CL AAA
|
36,090
|
|
508
|
GOLDMAN SACHS COMMODITY STRATEGY FUND CLASS A
|
2,985
|
|
11,548
|
GOLDMAN SACHS GROWTH STRATEGY PORTFOLIO-CL A
|
113,867
|
|
1,309
|
GREENSPRING FUND INC
|
29,722
|
|
159
|
GROWTH FD AMER INC CL R-3
|
4,515
|
|
4,135
|
GROWTH FD AMER INC CL R-5
|
118,603
|
|
4,811
|
GROWTH FUND AMER INC CL F1
|
137,409
|
|
1,780
|
GUINNESS ATKINSON FDS ALTERNATIVE ENERGY FD
|
5,198
|
|
663
|
GUINNESS ATKINSON FDS ASIA PACIFIC DIV FD
|
7,440
|
|
1,577
|
GUINNESS ATKINSON FDS CHINA & HONG KONG FD
|
41,927
|
|
4,447
|
GUINNESS ATKINSON GLOBAL ENERGY FUND
|
114,367
|
|
14,243
|
HARBOR BOND FUND INSTITUTIONAL
|
173,620
|
|
633
|
HARBOR CAPITAL APPRECIATION FUND INVESTOR CLASS
|
23,072
|
|
5,357
|
HARBOR FD COMODITY REAL RTRN STRATEGY CL
|
36,908
|
|
4,838
|
HARBOR FD REAL RETURN FD INSTL CL
|
51,813
|
|
698
|
HARBOR HIGH YIELD BOND FUND INVESTOR CLASS
|
7,397
|
|
2,827
|
HARBOR INTERNATIONAL FUND INSTITUTIONAL
|
148,253
|
|
5,149
|
HARBOR INTERNATIONAL FUND INVESTOR CLASS
|
267,738
|
|
1,565
|
HARBOR INTERNATIONAL GROWTH FUND INSTITUTIONAL
|
16,416
|
|
851
|
HARTFORD MUTUAL FUNDS INC CAP APPREC FUND CL C
|
21,769
|
|
2,025
|
HARTFORD MUTUAL FUNDS INC CAPITAL APPRECIATION FUND CL A
|
58,373
|
|
137
|
HARTFORD MUTUAL FUNDS INC CAPITAL APPRECIATION FUND CL B
|
3,484
|
|
1,166
|
HEARTLAND GROUP INC VALUE PLUS FUND
|
32,316
|
|
3,630
|
HEARTLAND SELECT VALUE FUND
|
97,319
|
|
2,232
|
HENNESSY FOCUS 30 FUND
|
28,079
|
|
296
|
HIGHMARK FDS LARGE CAP VALUE FUND - CLASS C
|
3,020
|
|
1,445
|
HOMESTEAD FDS INC SMALL CO STK FD
|
33,074
|
|
6,092
|
HUSSMAN INVESTMENT TRUST STRATEGIC TOTAL RETURN FUND
|
74,932
|
|
11,150
|
HUSSMAN INVT TR STRATEGIC GROWTH FUND
|
138,590
|
|
5,214
|
HUSSMAN INVT TR STRATEGIC INTL EQUITY FD
|
50,682
|
|
175
|
ICON FDS EQUITY INCOME FUND CLASS I
|
1,949
|
|
7,036
|
ICON FUNDS ENERGY FUND
|
129,112
|
|
170
|
ICON FUNDS FINANCIAL FUND
|
870
|
|
2,457
|
ICON FUNDS ICON MATERIALS FUND
|
25,501
|
|
362
|
ICON FUNDS-TELECOMMUNICATION & UTILITIES FUND
|
2,431
|
306
|
INCOME FD AMER INC CL R-1
|
5,105
|
|
631
|
INCOME FD AMER INC CL R-5
|
10,574
|
|
6,493
|
INCOME FUND OF AMERICA INC CLASS A
|
108,821
|
|
460
|
INDUSTRY LEADERS FD CL I
|
4,538
|
|
1,553
|
ING CORPORATE LEADERS TRUST UNIT PARTN CTF SER B
|
34,780
|
|
110
|
ING EQUITY TRUST REAL ESTATE FUND CLASS C
|
1,657
|
|
86
|
ING MUTUAL FUNDS RUSSIA FUND CLASS A
|
2,489
|
|
468
|
INTEGRITY FD WILLISTON BASIN/MID NORTH AMER CL A
|
2,536
|
|
181
|
INTERNATIONAL GROWTH & INC FD INC CL A SHS
|
4,963
|
|
7,114
|
INTREPID CAPITAL FUND
|
76,192
|
|
3,011
|
INTREPID SMALL CAP FUND
|
44,352
|
|
43
|
INVESCO CHINA FUND CL A
|
706
|
|
802
|
INVESCO DIVERSIFIED DIVIDEND FD INV CL
|
9,528
|
|
1,616
|
INVESCO ENERGY FUND CLASS A
|
61,388
|
|
150
|
INVESCO ENERGY FUND CLASS B
|
5,190
|
|
392
|
INVESCO ENERGY FUND CLASS INVESTOR
|
14,842
|
|
130
|
INVESCO EUROPEAN GROWTH FUND CLASS INVESTOR
|
3,663
|
|
838
|
INVESCO GOLD & PRECIOUS METALS FD CL INVESTOR
|
6,892
|
|
96
|
INVESCO GOLD & PRECIOUS METALS FUND CL C
|
816
|
|
6,517
|
INVESCO INTERNATIONAL CORE EQUITY FD INVST CL
|
61,524
|
|
373
|
INVESCO MID CAP CORE EQUITY FD CL Y
|
7,889
|
|
2,008
|
INVESCO REAL ESTATE FUND CL C
|
46,024
|
|
1,941
|
INVESCO VAN KAMPEN AMERICAN FRANCHISE FUND CLASS C
|
21,216
|
|
2,430
|
INVESCO VAN KAMPEN COMSTOCK FUND CLASS C
|
36,987
|
|
2,903
|
INVESTMENT MANAGERS SER TR THESIS FLEXIBLE FD
|
23,400
|
|
308
|
IVA FIDUCIARY TR IVA WORLDWIDE FD CL A
|
4,733
|
|
269
|
IVY ASSET STRATEGY FD CL C
|
5,816
|
|
2,538
|
IVY ASSET STRATEGY I
|
56,983
|
|
1,301
|
IVY FDS INC ASSET STRATEGY FD CL Y
|
29,023
|
|
1,301
|
IVY FDS INC MID CAP GROWTH FD CL Y
|
22,033
|
|
746
|
IVY FDS INC SCIENCE & TECH FD CL Y
|
21,829
|
|
51
|
IVY GLOBAL NATURAL RESOURCES FUND-CL B
|
764
|
|
3,286
|
JAMES ADVANTAGE FDS SMALL CAP FUND
|
77,060
|
|
890
|
JANUS CONTRARIAN FUND CLASS T SHARES
|
10,953
|
|
256
|
JANUS GLOBAL RESEARCH FUND CLASS T SHARES
|
3,458
|
|
791
|
JANUS GLOBAL SELECT FUND CLASS R SHARES
|
7,602
|
|
11,921
|
JANUS GLOBAL SELECT FUND CLASS T SHARES
|
115,034
|
|
174
|
JANUS INVESTMENT FUND BALANCED FUND CLASS T SHARES
|
4,262
|
|
1,457
|
JANUS INVESTMENT FUND FLEXIBLE BOND FUND CLASS T
|
15,359
|
|
3,030
|
JANUS INVESTMENT FUND HIGH YIELD FUND CLASS T
|
26,451
|
|
41,826
|
JANUS INVESTMENT FUND SHORT TERM BOND FUND CL T
|
127,570
|
|
7,528
|
JANUS INVT FD FLEXIBLE BD FD CL S
|
79,419
|
|
587
|
JANUS INVT FD FORTY FD CL S
|
18,048
|
|
9,198
|
JANUS INVT FD HIGH YIELD FD CL S
|
80,485
|
|
2,733
|
JANUS INVT FD PERKINS MID CAP VALUE FD CL S
|
55,129
|
|
7,766
|
JANUS OVERSEAS FUND CLASS T SHARES
|
244,022
|
|
6,757
|
JANUS TRITON FUND CLASS T SHARES
|
109,739
|
|
4,431
|
JENSEN PORTFOLIO INC JENSEN QUALITY GROWTH FD
|
117,454
|
|
868
|
JOHN HANCOCK REGIONAL BANK FUND-CL A
|
10,481
|
|
11,907
|
JP MORGAN SMARTRETIREMENT 2010 FD CL C
|
175,147
|
|
8,612
|
JP MORGAN SMARTRETIREMENT 2015 FD CL C
|
125,656
|
|
103
|
JPMORGAN RUSSIA FUND CLASS A
|
922
|
|
136
|
JPMORGAN RUSSIA FUND CLASS C
|
1,191
|
|
680,590
|
JPMORGAN TR I 100% U S TREAS SECS MNY MKTCL MORGAN SHARE CL
|
680,590
|
|
336
|
JPMORGAN TR I HIGHBRIDGE DYNAMIC COMMODITIES CL A
|
5,742
|
|
3,108
|
JPMORGAN TR I INTL VALUE FD CL A
|
34,563
|
|
242
|
JPMORGAN TR I INTREPID EUROPEAN FD CL A
|
3,730
|
|
215
|
JPMORGAN TR I PRIME MONEY MKT FD MORGAN CL SECURITY SYMBOL IS V MVXX
|
215
|
|
6,198
|
JPMORGAN TR II HIGH YIELD FD CL A
|
47,041
|
|
831,806
|
JPMORGAN TR II U S GOVT MONEY MKT FD MORGAN
|
831,806
|
|
415
|
JPMORGAN TR II U S REAL ESTATE FD CL A
|
6,713
|
|
2,117
|
KEELEY SMALL CAP VALUE FD CL A
|
48,999
|
|
539
|
KINETICS PARADIGM FUND INV CL
|
10,666
|
|
471
|
LAUDUS TR GROWTH INVS U S LARGE CAP GRTH
|
5,864
|
|
1,065
|
LAZARD DEVELOPING MARKETS EQUITY PORTFOLIO OPEN SHS
|
11,374
|
12,179
|
LAZARD EMERGING MARKETS PORT OPEN SHS
|
209,478
|
|
2,304
|
LEUTHOLD FDS INC ASSET ALLOCATIO FD
|
22,807
|
|
48,828
|
LOOMIS SAYLES BOND FUND RETAIL CLASS
|
677,728
|
|
5,922
|
LOOMIS SAYLES GLOBAL BOND FUND RETAIL CLASS
|
96,646
|
|
2,975
|
LORD ABBETT GROWTH AND INCOME STRATEGY FUND CL A
|
43,529
|
|
226
|
MADISON MOSAIC EQUITY TR INVS FD
|
3,708
|
|
3,311
|
MAINSTAY FDS LARGE CAP GROWTH FD CL I
|
23,407
|
|
212
|
MANAGERS FUNDS EMERGING MARKETS EQUITY FUND
|
2,562
|
|
40,151
|
MANAGERS PIMCO BOND FUND
|
422,384
|
|
2,747
|
MANNING AND NAPIER FUND INC NEW EQUITY SERIES
|
47,766
|
|
15,871
|
MANNING AND NAPIER FUND WORLD OPPORTUNITIES SER CL A
|
105,227
|
|
8,652
|
MARSICO 21ST CENTURY FUND
|
108,502
|
|
1,860
|
MARSICO FOCUS FUND
|
32,760
|
|
3,876
|
MARSICO GROWTH FD
|
74,303
|
|
979
|
MARSICO INVT FD FLEXIBLE CAP FD
|
12,695
|
|
1,197
|
MARSICO INVT FD INTL OPPORTUNITIES FD
|
13,523
|
|
3,614
|
MASSACHUSETTS INVS GRWTH STK MASS INVS GROWTH STK FD CL R5
|
55,756
|
|
4,332
|
MATTHEWS ASIA DIVIDEND FUND
|
54,065
|
|
3,022
|
MATTHEWS ASIA SCIENCE AND TECHNOLOGY FUND
|
24,657
|
|
323
|
MATTHEWS ASIAN FDS ASIA SMALL COS FD
|
4,767
|
|
5,534
|
MATTHEWS ASIAN GROWTH & INCOME FUND
|
83,402
|
|
4,127
|
MATTHEWS CHINA FUND
|
88,767
|
|
3,355
|
MATTHEWS INDIA FUND
|
45,595
|
|
1,414
|
MATTHEWS INTL FDS ASIA GROWTH FUND
|
21,697
|
|
2,623
|
MATTHEWS KOREA FUND
|
12,041
|
|
2,070
|
MATTHEWS PACIFIC TIGER FUND
|
42,078
|
|
5,236
|
MERGER FUND-SBI
|
81,623
|
|
2,956
|
MERIDIAN FUND INC VALUE FUND
|
83,009
|
|
1,480
|
MERIDIAN GROWTH FUND
|
61,619
|
|
12,585
|
METROPOLITAN WEST FDS TOTAL RETURN BOND FUND
|
130,510
|
|
2,413
|
METROPOLITAN WEST FUNDS HIGH YIELD BOND FUND CLASS M
|
23,697
|
|
418
|
METROPOLITAN WEST FUNDS INTERMEDIATE BOND FUND CLASS M
|
4,317
|
|
1,982
|
MFS SER TR X EMERGING MARKET DEBT FUND CLASS I
|
28,778
|
|
3,363
|
MFS SER TR X INTL DIVERSIFICATION FD CL C
|
40,259
|
|
481
|
MFS UTILITIES FUND-CL C
|
8,123
|
|
1,304
|
MIDAS FUND INC
|
4,655
|
|
550
|
MORGAN STANLEY INSTL FD INC U S REAL ESTATE PORTFOLIO CL I
|
8,252
|
|
1,315
|
MOTLEY FOOL FDS TR GREAT AMERICA FD
|
14,646
|
|
3,027
|
MOTLEY FOOL FDS TR MOTLEY FOOL INDEPENDENCE FD
|
42,314
|
|
674
|
MUHLENKAMP FD
|
34,483
|
|
1,025
|
MUTUAL GLOBAL DISCOVERY FUND CL Z
|
28,156
|
|
141
|
MUTUAL SERIES FUND INC EUROPEAN FUND CL Z
|
2,668
|
|
113
|
MUTUAL SERIES FUND INC SHARES FUND CL Z
|
2,253
|
|
1,220
|
MUTUALS COM VICE FUND
|
22,619
|
|
610
|
NEEDHAM AGGRESSIVE GROWTH FD
|
8,862
|
|
3,082
|
NEUBERGER BERMAN EQUITY FDS REAL ESTATE FD TR CL
|
37,049
|
|
2,544
|
NEUBERGER BERMAN GENESIS FD INVESTOR CLASS
|
84,121
|
|
952
|
NEUBERGER BERMAN GENESIS FUND TRUST CLASS
|
45,897
|
|
143
|
NEUBERGER BERMAN INTL FUND INVESTOR CLASS
|
2,148
|
|
140
|
NEUBERGER BERMAN PARTNERS FUND INVESTOR CLASS
|
3,417
|
|
544
|
NEW PERSPECTIVE FD INC CL F-2 SHS
|
14,207
|
|
4,062
|
NEW PERSPECTIVE FUND INC CL A
|
106,254
|
|
355
|
NEW WORLD FD INC CLASS R-5
|
16,382
|
|
2,912
|
NEW WORLD FD INC NEW CL F-2 SHS
|
134,195
|
|
584
|
NORTHERN FDS EMERGING MKTS EQUITY INDEX FD
|
5,963
|
|
197
|
NORTHERN FUNDS INCOME EQUITY FUND
|
2,390
|
|
2,654
|
OAKMARK EQUITY & INCOME FUND CL I
|
71,790
|
|
274
|
OAKMARK FUND CLASS I
|
11,402
|
|
6,743
|
OAKMARK GLOBAL FUND CL I
|
133,909
|
|
660
|
OAKMARK GLOBAL SELECT FUND CL I
|
6,877
|
|
403
|
OAKMARK INTERNATIONAL FUND CLASS I
|
6,672
|
|
1,903
|
OAKMARK INTERNATIONAL SMALL CAP FUND CL I
|
22,812
|
|
5,677
|
OAKMARK SELECT FUND CLASS I
|
158,845
|
|
1,711
|
OBERWEIS CHINA OPPTYS FD
|
14,886
|
|
162
|
OBERWEIS MICRO-CAP PORTFOLIO
|
1,809
|
2,306
|
OLD MUT ADVISOR FDS II DWGHT SHORT TERM FXD INC FD CL Z
|
23,155
|
|
737
|
OPPENHEIMER COMMODITY STRATEGY TOTAL RETURN FD CL A
|
2,460
|
|
971
|
OPPENHEIMER DEVELOPING MARKETS FUND-CL A
|
28,455
|
|
568
|
OPPENHEIMER DEVELOPING MKTS FUNDS CL N
|
16,101
|
|
340
|
OPPENHEIMER GOLD & SPECIAL MINERALS FD CL N
|
11,414
|
|
2,973
|
OPPENHEIMER INTL BD FD CL N
|
18,405
|
|
10,738
|
PARNASSUS INCOME TRUST EQUITY INCOME PORTFOLIO
|
282,937
|
|
3,359
|
PARNASSUS SMALL CAP FD
|
67,451
|
|
282
|
PAX WORLD FDS SER TR I GLOBAL GREEN FD IND INV CL
|
2,379
|
|
3,550
|
PAX WORLD HIGH YIELD BOND FD INDIVIDUAL INVESTOR CLASS
|
25,563
|
|
1,509
|
PEAR TREE FDS PEAR TREE EMERGING MKTS FD ORD SHS
|
29,638
|
|
114
|
PERKINS DISCOVERY FD PROFESSIONALLY MGD PORTFOLIO
|
2,766
|
|
1,265
|
PERKINS GLOBAL VALUE FUND CL T
|
14,797
|
|
6,812
|
PERKINS MID CAP VALUE FD CLASS T SHS
|
137,533
|
|
6,540
|
PERKINS SMALL CAP VALUE FUND CLASS T SHARES
|
133,146
|
|
12,359
|
PERMANENT PORTFOLIO FUND INC
|
569,606
|
|
1,956
|
PERRITT EMERGING OPPORTUNITIES FD
|
20,579
|
|
1,429
|
PFS FDS WIRELESS FD
|
7,100
|
|
66,383
|
PIMCO COMMODITY REAL RETURN STRATEGY CLASS D
|
426,842
|
|
1,746
|
PIMCO FDS EMERGING LOCAL BD FD CL D
|
17,543
|
|
1,842
|
PIMCO FDS EMERGING MKTS CURR FDS CL D
|
18,249
|
|
217
|
PIMCO FDS FOREIGN BD FD CL D(UNHEDGED)
|
2,365
|
|
1,964
|
PIMCO FDS LONG DURATION TOTAL RET FD INSTL CL
|
23,152
|
|
1,171
|
PIMCO FDS PAC INVT MGMT SER REAL ESTATE REAL RET STR CL C
|
5,047
|
|
7,636
|
PIMCO FDS PAC INVT MGMT SER REAL RETURN FD-CL D
|
90,027
|
|
145,709
|
PIMCO FDS PAC INVT MGMT SER TOTAL RETURN FD CL D
|
1,583,858
|
|
6,799
|
PIMCO FDS UNCONSTRAINED BD FD CL D
|
74,044
|
|
2,493
|
PIMCO FOREIGN BOND FUND CL D U.S. DOLLAR-HEDGED
|
26,372
|
|
411
|
PIMCO SMALL CAP STOCKSPLUS TR CLASS D
|
2,750
|
|
2,804
|
PIMCO TOTAL RETURN FUND ADMINISTRATIVE SHS
|
30,474
|
|
25,023
|
PIMCO TOTAL RETURN FUND INSTL CL
|
271,996
|
|
954
|
PIMCO TOTAL RETURN FUND-CL A
|
10,366
|
|
1,004
|
POLARIS GLOBAL VALUE FUND
|
12,771
|
|
2,873
|
PRICE T ROWE GLOBAL TECHNOLOGY FUND INC SHS BEN INT
|
25,718
|
|
138
|
PRICE T ROWE RETIREMENT FDS INC 2030 FD
|
2,284
|
|
14,232
|
PRIMECAP ODYSSEY FDS AGGRESSIVE GROWTH FD
|
228,714
|
|
9,349
|
PRIMECAP ODYSSEY FDS GROWTH FD
|
139,675
|
|
611
|
PROFESSIONALLY MANAGED PORT DUNCAN-HURST CAN SLIM SELECT
|
6,791
|
|
192
|
PROFESSIONALLY MANAGED PORT FD ASTERISK X CONSERVATIVE UPGRADE FUND
|
6,143
|
|
328
|
PROFESSIONALLY MANAGED PORT FD ASTERISK X FLEXIBLE INCOME FUND
|
10,085
|
|
437
|
PROFESSIONALLY MANAGED PORT OSTERWEIS STRATEGIC INCOME FD
|
4,952
|
|
244
|
PROFESSIONALLY MANAGED PORTF HODGES FUND
|
4,775
|
|
8,040
|
PROFESSIONALLY MANAGED PRTFL AKRE FOCUS FD RETAIL CL
|
108,144
|
|
502
|
PROFUNDS BASIC MATLS ULTRASECTOR PROFUND INV CL
|
19,026
|
|
1,556
|
PROFUNDS BEAR INVS CL
|
28,549
|
|
30
|
PROFUNDS MOBILE TELECOM ULTRA SECTOR INV CL
|
619
|
|
2,702
|
PROFUNDS MUT FDS INV CL OILFIELD EQUIPT & SVCS ULTRA
|
49,850
|
|
133
|
PROFUNDS OIL & GAS ULTRASECTOR INVESTOR CL
|
5,146
|
|
63
|
PROFUNDS REAL ESTATE ULTRASECTOR PROFUND INV CL
|
1,400
|
|
9,231
|
PROFUNDS RISING RATES OPPORTUNITY 10 INV CL
|
169,948
|
|
7,715
|
PROFUNDS RISING RATES OPPORTUNITY INV
|
60,173
|
|
392
|
PROFUNDS RISING U S DOLLAR PROFUND INV
|
10,251
|
|
11
|
PROFUNDS SHORT EMERGING MKTS PROFUND INVS CL
|
148
|
|
4,138
|
PROFUNDS SHORT NASDAQ-100 INV CL
|
34,590
|
|
887
|
PROFUNDS SHORT PRECIOUS METALS PROFUND INVT CL
|
5,589
|
|
1,914
|
PROFUNDS SHORT REAL EST PROFUND INV CL
|
13,223
|
|
632
|
PROFUNDS TELECOMM ULTRASECTORINV CL
|
8,595
|
|
5
|
PROFUNDS ULTRA SMALL/CAP INVSTR CL
|
84
|
|
314
|
PROFUNDS ULTRABULL INVS CL
|
12,036
|
|
202
|
PROFUNDS ULTRAJAPAN INVESTOR CLASS
|
1,120
|
|
11
|
PROFUNDS ULTRALATIN AMER PROFUND INV CL
|
100
|
|
11
|
PROFUNDS ULTRASHORT CHINA PROFUND INV
|
67
|
|
707
|
PROFUNDS ULTRASHORT DOW 30 FD INVESTOR CL
|
4,432
|
|
4,536
|
PROFUNDS ULTRASHORT INTL PROFUND INVS
|
36,830
|
|
284
|
PROFUNDS ULTRASHORT LATIN AMERICA INVS CL
|
4,740
|
5,497
|
PROFUNDS ULTRASHORT SMALL-CAP FD INV CL
|
59,589
|
|
515
|
PRUDENTIAL JENNISON NATURAL RESOURCES FUND INC CLASS Z
|
24,548
|
|
300
|
PRUDENTIAL JENNISON SMALL COMPANY FUND INC CLASS A
|
5,966
|
|
93
|
PRUDENTIAL JENNISON UTILITY FUND CLASS A
|
1,001
|
|
297
|
PRUDENTIAL JENNISON UTILITY FUND CLASS C
|
3,204
|
|
1,865
|
PUTNAM EQUITY INCOME FD NEW CL Y
|
27,987
|
|
2,790
|
PUTNAM GLOBAL NAT RES FD CL C
|
48,545
|
|
36
|
PUTNAM GLOBAL NATURAL RESOURCES FUND-CL A
|
688
|
|
1,737
|
RAINIER INVT MGMT MUT FDS MID CAP EQUITY PORTFOLIO
|
66,808
|
|
3,145
|
RBB FD INC SCHNEIDER VALUE FD CL PPP
|
37,744
|
|
2,928
|
RBB FUND INC ROBECO BOSTON PRTNRS LONG SHORT EQI INVT SHS
|
53,208
|
|
1,226
|
RBB FUND INC SCHNEIDER SMALL CAP VALUE FD
|
16,864
|
|
903
|
RBC FDS TR MICROCAP VALUE FD CL S
|
14,604
|
|
594
|
REYNOLDS BLUE CHIP GROWTH FUND
|
30,529
|
|
1,718
|
RIDGEWORTH FDS SMALL CAP VALUE EQUITY FD CL C
|
20,047
|
|
1,754
|
ROWE T PRICE CAPITAL APPRECIATION FD ADVISOR CLASS
|
35,971
|
|
1,265
|
ROWE T PRICE INFLATION PROTECTED BOND FUND INC
|
16,409
|
|
11,152
|
ROWE T PRICE INTL FDS INC AFRICA AND THE MIDDLE EAST FD
|
70,817
|
|
2,074
|
ROWE T PRICE INTL INDEX FD INC INTL EQUITY INDEX FD
|
20,702
|
|
1,261
|
ROWE T PRICE NEW INCOME FD ADVISOR CL
|
12,183
|
|
548
|
ROWE T PRICE REAL ESTATE FD ADVISOR CLASS
|
10,153
|
|
169
|
ROYCE FD INTL SMALLER-COS FD SVC CL
|
1,624
|
|
775
|
ROYCE FD PREMIER FD SERVICE CL
|
14,122
|
|
2,786
|
ROYCE FD SPECIAL EQUITY FD
|
54,889
|
|
2,564
|
ROYCE FUND LOW PRICED STOCK SERVICE
|
36,685
|
|
859
|
ROYCE FUND MICRO-CAP FUND
|
12,483
|
|
342
|
ROYCE FUND PREMIER SERIES
|
6,331
|
|
891
|
ROYCE FUND ROYCE OPPORTUNITY FUND
|
9,199
|
|
2,695
|
ROYCE FUND VALUE FD SERVICE CL
|
29,484
|
|
16,259
|
ROYCE FUND VALUE PLUS FUND SERVICE CL
|
195,109
|
|
6,843
|
ROYCE FUND-PENNSYLVANIA MUTUAL FUND INVESTMENT CL
|
73,628
|
|
1,665
|
ROYCE GLOBAL VALUE FUND SVC CL
|
19,601
|
|
554
|
RS INVT TR VALUE FUND
|
12,765
|
|
1,888
|
RUSSELL COMMODITY STRATEGIES FUND CL S
|
18,011
|
|
322
|
RYDEX SERIES FDS GOVT LONG BOND 1.2X STRAT CL C
|
5,281
|
|
3,063
|
RYDEX DYNAMIC FDS INVERSE DOW 2X STRATEGY CL C
|
37,187
|
|
2,752
|
RYDEX DYNAMIC FDS INVERSE DOW 2X STRATEGY CL H
|
35,584
|
|
1,190
|
RYDEX DYNAMIC FDS INVERSE S&P 500 2X STRAT CL H
|
15,193
|
|
494
|
RYDEX DYNAMIC FDS NASDAQ-100 2X STRATEGY CL H
|
59,188
|
|
244
|
RYDEX SER FDS COMMODITIES STRATEGY FD CL A
|
3,947
|
|
8,819
|
RYDEX SER FDS INV RUSSELL 2000 2X STRAT CL C
|
187,490
|
|
27
|
RYDEX SER FDS RUSSELL 2000 2X STRATEGY CL H
|
3,681
|
|
1,235
|
RYDEX SER FDS S&P 500 FD CL H
|
31,025
|
|
115
|
RYDEX SER TR UTILITIES FD INVESTOR CL
|
3,393
|
|
1
|
RYDEX SERIES FDS GOVT LG BOND 1.2X STRAT CL ADV
|
8
|
|
437
|
RYDEX SERIES FDS INVERSE GVT LG BD STRAT CL INV
|
3,935
|
|
17,133
|
RYDEX SERIES FDS INVERSE S&P 500 STRAT CL INV
|
477,329
|
|
159
|
RYDEX SERIES TRUST BASIC MATERIALS FUND INV CL
|
7,257
|
|
6,037
|
RYDEX SERIES TRUST NASDAQ-100
|
89,469
|
|
759
|
RYDEX SERIES TRUST PRECIOUS METALS FUND
|
50,550
|
|
468
|
RYDEX SGI MANAGED FUTURES STRATEGY CL H
|
11,208
|
|
19
|
SARATOGA HEALTH AND BIOTECHNOLOGY CLASS A
|
359
|
|
228
|
SATUIT CAP MGMT TR MICRO CAP FD CL A
|
6,914
|
|
44,393
|
SATURNA INVESTMENT TRUST SEXTANT INTERNATIONAL FUND
|
632,596
|
|
162
|
SCHWAB CAP TR LAUDUS INTL MARKET MASTERS FUND INV CLASS
|
2,660
|
|
1,082
|
SCHWARTZ INVT TR AVE MARIA SMALL CAP FD
|
11,887
|
|
5,997
|
SCOUT FDS CORE BD FD INSTL CL
|
67,949
|
|
2,278
|
SCOUT FDS INTERNATIONAL FD
|
63,717
|
|
720
|
SCOUT FDS MID CAP FD
|
9,159
|
|
847
|
SELECTED AMERICAN SHARE INC CL D
|
33,414
|
|
907
|
SELECTED AMERICAN SHARES INC
|
35,800
|
|
264
|
SENTINEL GROUP FDS INC INTERNATIONAL EQUITY CL A
|
3,809
|
|
410
|
SEQUOIA FUND INC
|
59,682
|
|
397
|
SMALLCAP WORLD FUND INC CL C
|
12,341
|
144
|
SMALLCAP WORLD FUND INC CL F1
|
4,735
|
|
799
|
SSGA FUNDS EMERGING MARKETS FUND
|
14,369
|
|
634
|
SSGA FUNDS INTERMEDIATE FUND
|
5,805
|
|
4,798
|
SSGA FUNDS INTL STK SELECTION FUND
|
39,586
|
|
73
|
SSGA FUNDS TUCKERMAN ACTIVE REIT
|
835
|
|
995
|
STRATTON FDS INC-SMALL CAP YIELD FD
|
49,526
|
|
60,927
|
SYMONS VALUE INSTITUTIONAL FUND
|
642,775
|
|
17,202
|
T ROWE PRICE BLUE CHIP GROWTH FUND INC
|
664,859
|
|
340
|
T ROWE PRICE BLUE CHIP GROWTH FUND INC ADVISOR CL
|
13,106
|
|
12,972
|
T ROWE PRICE CAPITAL APPRECIATION FUND-SBI
|
267,483
|
|
157
|
T ROWE PRICE DIVIDEND GROWTH FUND INC
|
3,670
|
|
199
|
T ROWE PRICE EQUITY INCOME FUND ADVISOR CL
|
4,585
|
|
12,938
|
T ROWE PRICE EQUITY INCOME FUND-SBI
|
298,351
|
|
626
|
T ROWE PRICE FINANCIAL SERVICES FUND INC
|
7,436
|
|
992
|
T ROWE PRICE GNMA FUND-SBI
|
10,062
|
|
850
|
T ROWE PRICE GROWTH STK FD INC GROWTH STK FD ADV CL
|
26,778
|
|
4,162
|
T ROWE PRICE GROWTH STOCK FUND INC
|
132,469
|
|
1,526
|
T ROWE PRICE HEALTH SCIENCES FUND INC
|
49,732
|
|
6,508
|
T ROWE PRICE HIGH YIELD FUND INC
|
42,236
|
|
1,251
|
T ROWE PRICE INTL FDS INC EMERGING EUROPE MEDITERRANEAN
|
19,598
|
|
7,949
|
T ROWE PRICE INTL FUNDS INC EMERGING MARKETS BOND FUND
|
101,270
|
|
3,680
|
T ROWE PRICE INTL FUNDS INC EMERGING MARKETS STOCK FUND
|
104,909
|
|
2,278
|
T ROWE PRICE INTL FUNDS INC GLOBAL STOCK FUND
|
36,122
|
|
27,463
|
T ROWE PRICE INTL FUNDS INC INTERNATIONAL BOND FUND
|
267,491
|
|
2,922
|
T ROWE PRICE INTL FUNDS INC INTERNATIONAL DISCOVERY FUND
|
109,024
|
|
7,121
|
T ROWE PRICE INTL FUNDS INC LATIN AMERICA FUND
|
276,523
|
|
2,178
|
T ROWE PRICE INTL FUNDS INC NEW ASIA FUND
|
30,289
|
|
985
|
T ROWE PRICE MEDIA & TELECOMMUNICATIONS FUND INC
|
46,229
|
|
929
|
T ROWE PRICE MID CAP GROWTH FUND INC ADVISOR CL
|
48,043
|
|
1,154
|
T ROWE PRICE MID-CAP GROWTH FUND INC
|
60,869
|
|
1,054
|
T ROWE PRICE NEW AMERICA GROWTH FUND-SBI
|
33,527
|
|
2,678
|
T ROWE PRICE NEW ERA FUND INC
|
112,591
|
|
38,673
|
T ROWE PRICE NEW HORIZONS FUND INC
|
1,200,030
|
|
1,149
|
T ROWE PRICE REAL ESTATE FUND INC
|
21,101
|
|
63
|
T ROWE PRICE SCIENCE & TECHNOLOGY FUND ADVISOR CL
|
1,606
|
|
966
|
T ROWE PRICE SMALL CAPITAL VALUE FUND INC
|
33,296
|
|
678
|
TANAKA FUNDS INC GROWTH FUND CL R
|
7,738
|
|
9,133
|
TARGET PORTFOLIO TR MTG BACKED SECS PORTFOLIO
|
97,906
|
|
3,622
|
TARGET PORTFOLIO TR TOTAL RETURN BD PORTFOLIO
|
40,128
|
|
4,873
|
TCW FDS INC EMERGING MKTS INCOME FD CL N
|
51,464
|
|
592
|
TCW FDS INC TOTAL RETURN BOND FD CL N
|
5,902
|
|
5,442
|
TCW HIGH YIELD BOND FUND CLASS I
|
32,108
|
|
4,855
|
TEMPLETON FOREIGN FD CL A
|
28,740
|
|
629
|
TEMPLETON GLOBAL BOND FD CL A
|
7,805
|
|
22,579
|
TEMPLETON GLOBAL BOND FUND ADVISOR CL
|
279,308
|
|
1,608
|
TEMPLETON GLOBAL BOND FUND CL C
|
19,985
|
|
570
|
TEMPLETON GROWTH FUND INC CL R
|
9,213
|
|
3,288
|
THIRD AVENUE INTL VALUE FD INSTL CLASS
|
46,290
|
|
3,249
|
THIRD AVENUE VALUE FUND INSTL CLASS
|
130,425
|
|
206
|
THOMPSON PLUMB FUNDS INC BOND FUND
|
2,313
|
|
4,671
|
THORNBURG INTL VALUE FUND CL I
|
114,824
|
|
606
|
THORNBURG INVT TR INTL VALUE FD CL C
|
13,696
|
|
258
|
THORNBURG INVT TRUST VALUE FUND CL A
|
7,571
|
|
211
|
TIAA CREF INSTL MUT FDS LARGE CAP VALUE BOND RETAIL
|
2,497
|
|
2,450
|
TIAA CREF INSTL MUT FDS MID CAP VALUE FD RETAIL CL
|
39,691
|
|
1,844
|
TIAA CREF INSTL MUT FDS REAL ESTATE SECS FD RETAIL CL
|
19,533
|
|
3,548
|
TOCQUEVILLE GOLD FUND
|
253,579
|
|
1,820
|
TOCQUEVILLE TR DELAFIELD FD
|
48,999
|
|
3,863
|
TOUCHSTONE SANDS CAPITAL SELECT GROWTH FUND CL Z
|
39,368
|
|
2,414
|
TOUCHSTONE STRATEGIC TR LARGE CAP GROWTH FD CL Y
|
61,160
|
|
4,226
|
TRANSAMERICA WMC DIVERSIFIED GROWTH-P
|
38,540
|
|
710
|
TRUST FOR PROFESSIONAL MANAGERS MARKETFIELD FUND
|
9,950
|
|
317
|
TURNER FUNDS SMALL CAP GROWTH FUND INV CL
|
10,205
|
|
1,745
|
TWEEDY BROWNE FUND INC GLOBAL VALUE FUND
|
38,132
|
|
1,734
|
U S GLOBAL INVESTORS EASTERN EUROPEAN FUND
|
13,508
|
5,945
|
U S GLOBAL INVESTORS GLOBAL MEGA TRENDS FUND
|
45,661
|
|
21,559
|
U S GLOBAL INVESTORS GOLD AND PRECIOUS METALS FUND
|
271,865
|
|
1,172
|
UNIFIED SER TR APPLESEED FD
|
13,767
|
|
4,642
|
UNIFIED SER TR SOUND MIND INVESTING BALANCED FD
|
44,843
|
|
11,518
|
UNIFIED SER TR SOUND MIND INVESTING FD
|
122,556
|
|
3,746
|
US GLOBAL INVESTORS CHINA REGION FUND
|
25,508
|
|
1,005
|
US GLOBAL INVESTORS GLOBAL EMERGING MARKETS FUND
|
6,852
|
|
26,206
|
US GLOBAL INVESTORS GLOBAL RESOURCES FUND
|
245,290
|
|
7,346
|
US GLOBAL INVESTORS WORLD PRECIOUS MINERALS FUND
|
96,826
|
|
2,400
|
VALUE LINE FUND INC
|
21,696
|
|
604
|
VALUE LINE INCOME FUND INC
|
4,992
|
|
729
|
VALUE LINE PREMIER GROWTH FD INC
|
19,305
|
|
3,076
|
VAN ECK EMERGING MARKETS CLASS C
|
28,795
|
|
124
|
VAN ECK FUNDS GLOBAL HARD ASSETS FUND CL A
|
5,393
|
|
980
|
VAN ECK FUNDS INTL INVESTORS GOLD FUND CL A
|
18,707
|
|
231
|
VAN ECK FUNDS INTL INVESTORS GOLD FUND CL C
|
4,097
|
|
582
|
VANGUARD 500 INDEX FUND INVESTOR SHARES
|
67,446
|
|
6,381
|
VANGUARD BOND INDEX FUND INC INTERMEDIATE TERM PORTFOLIO FD
|
75,103
|
|
6,212
|
VANGUARD BOND INDEX FUND INC SHORT TERM PORTFOLIO
|
65,912
|
|
13,656
|
VANGUARD BOND INDEX FUND INC TOTAL BOND MARKET PORTFOLIO
|
150,213
|
|
2,581
|
VANGUARD CHESTER FDS TARGET RETIREMENT 2015 FD
|
31,741
|
|
2,455
|
VANGUARD CONVERTIBLE SECURITIES FUND-SBI
|
29,063
|
|
24,623
|
VANGUARD DIVIDEND GROWTH FUND
|
379,691
|
|
1,316
|
VANGUARD EMERGING MARKETS STOCK INDEX FUND
|
31,732
|
|
7,102
|
VANGUARD FINANCIALS INDEX FUND ADMIRAL SHS
|
98,147
|
|
12,445
|
VANGUARD FIXED INC SECS FD INC SHORT TERM INVT GRADE FUND
|
132,415
|
|
2,014
|
VANGUARD FIXED INCOME SECS FD INC-HIGH YIELD CORP PORTFOL
|
11,460
|
|
2,342
|
VANGUARD FIXED INCOME SECS FD INC-LONG TERM U S TREASURY PORTFOLIO
|
31,241
|
|
10,403
|
VANGUARD FIXED INCOME SECS INTER TERM INVT GRADE INV CL
|
103,927
|
|
731
|
VANGUARD FIXED INCOME SECS INVT GRADE BD PORTFOLIO
|
7,526
|
|
11,801
|
VANGUARD GNMA FUND
|
130,637
|
|
871
|
VANGUARD HORIZON FD INC GLOBAL EQUITY PORTFOLIO
|
13,863
|
|
3,049
|
VANGUARD HORIZON FDS STRTGIC SMALL CAP EQUITY FD INV CL
|
57,389
|
|
361
|
VANGUARD INDEX FDS 500 INDEX FD SIGNAL SHS
|
34,569
|
|
477
|
VANGUARD INDEX TR MID CAP GROWTH INDEX INV SHS
|
11,187
|
|
57,753
|
VANGUARD INDEX TRUST MID CAPITALIZATION STK PORT
|
1,134,848
|
|
7,304
|
VANGUARD INDEX TRUST SMALL CAPITLZATION GROWTH
|
156,957
|
|
1,441
|
VANGUARD INDEX TRUST SMALL CAPITLZATION VALUE STK
|
21,678
|
|
9,672
|
VANGUARD INDEX TRUST TOTAL STOCK MARKET PORTFOLIO
|
302,649
|
|
4,959
|
VANGUARD INDEX TRUST-SMALL CAPITALIZATION STOCK FUND
|
165,531
|
|
26,699
|
VANGUARD INFL-PROTECTED SECS
|
376,717
|
|
1,297
|
VANGUARD INTERNATIONAL GROWTH PORTFOLIO
|
21,199
|
|
271
|
VANGUARD INTERNATIONAL VALUE PORTFOLIO
|
7,209
|
|
407
|
VANGUARD INTL EQTY INDX FDS GBL EX-US REAL ESTATE IDX INV
|
6,619
|
|
1,091
|
VANGUARD INTL EQUITY INDEX FUND INC-EUROPEAN PORTFOLIO
|
24,179
|
|
1,084
|
VANGUARD INTL EQUITY INDEX FUND INC-PACIFIC PORTFOLIO
|
9,822
|
|
2,187
|
VANGUARD INTL EQUTY INDX FDS FTSE AL WRLD EX US INDX FD INV
|
34,037
|
|
1,139
|
VANGUARD SPECIALIZED PORTFOLIOS METALS & MINING FD
|
22,091
|
|
2,835
|
VANGUARD SPECIALIZED PORTFOLIOS-ENERGY PORTFOLIO
|
169,987
|
|
5,210
|
VANGUARD SPECIALIZED PORTFOLIOS-REIT INDEX PORTFOL
|
100,284
|
|
58
|
VANGUARD STAR FUND STAR PORTFOLIO
|
1,089
|
|
18,105
|
VANGUARD TARGET RETIREMENT 2035 FD
|
226,496
|
|
19,956
|
VANGUARD TOTAL INTL STOCK INDEX FUND
|
260,625
|
|
14,486
|
VANGUARD WELLESLEY INCOME FUND INC
|
332,162
|
|
635
|
VANGUARD WELLINGTON FD INC
|
19,903
|
|
2,279
|
VANGUARD WHITEHALL FDS HIGH DIVIDEND YIELD INV SHS
|
40,825
|
|
185
|
VANGUARD WHITEHALL FUNDS INC SELECTED VALUE PORTFOLIO
|
3,435
|
|
1,311
|
VANGUARD WINDSOR FUND INC VANGUARD WINDSOR II PORTFOLIO
|
33,791
|
|
899
|
VIRTUS FOREIGN OPPORTUNITIES FUND CLASS A
|
19,801
|
|
433
|
VIRTUS SMALL CAP SUSTAINABLE GROWTH FUND CLASS C
|
4,952
|
|
231
|
WALTHAUSEN FDS SMALL CAP VALUE FD
|
3,431
|
|
700
|
WASATCH ADVISORS FUNDS INC CORE GROWTH FUND
|
25,312
|
|
410
|
WASATCH ADVISORS FUNDS INC HOISINGTON U S TREASURY FUND
|
7,508
|
|
437
|
WASATCH ADVISORS FUNDS INC SMALL CAP GROWTH FUND
|
16,525
|
|
79
|
WASATCH ADVISORS FUNDS INC ULTRA GROWTH FUND
|
1,599
|
5,030
|
WASATCH FDS INC 1ST SOURCE INCOME FD
|
51,814
|
|
39,767
|
WASATCH FDS INC EMERGING MKTS SMALL CAP FD
|
87,885
|
|
1,892
|
WASATCH FDS INC INTL GROWTH FD
|
33,599
|
|
16,072
|
WASATCH FDS INC LARGE CAP VALUE FUND
|
211,670
|
|
3,806
|
WASATCH FDS INC LONG/SHORT FD
|
48,909
|
|
1,476
|
WASATCH WORLD INNOVATORS FD
|
23,162
|
|
540
|
WEITZ FDS HICKORY FD
|
20,834
|
|
3,160
|
WEITZ FDS SHORT INTERMEDIATE INCOME FD
|
39,095
|
|
3,896
|
WEITZ PARTNERS III OPPORTUNITY FD
|
46,710
|
|
1,200
|
WEITZ SERIES FUND INC VALUE PORTFOLIO
|
36,144
|
|
1,803
|
WELLS FARGO ADVANTAGE ASIA PACIFIC FUND INV CL
|
15,652
|
|
978
|
WELLS FARGO ADVANTAGE FDS EMERGING MRKTS EQUITY FD CL C
|
16,200
|
|
37
|
WELLS FARGO ADVANTAGE FDS PRECIOUS METALS FD CL A
|
2,657
|
|
2,075
|
WELLS FARGO ADVANTAGE FDS ULTR SHT TRM MUN INC FD INV CL
|
10,000
|
|
2,251
|
WELLS FARGO ADVANTAGE GROWTH FUND INV CL
|
76,767
|
|
144
|
WELLS FARGO SHORT TERM HIGH YIELD BD FD CL A
|
1,172
|
|
3,920
|
WELLS FARGO SHORT TERM HIGH YIELD BOND FUND INV CL
|
31,832
|
|
10,273
|
WESTCORE PLUS BOND FUND INSTL SHS
|
113,415
|
|
654
|
WESTCORE TR SELECT FD
|
12,230
|
|
602
|
WESTCORE TRUST FLEXIBLE INCOME FUND
|
5,163
|
|
3,273
|
WESTERN ASSET CORE PLUS BOND PORTFOLIO CLASS I
|
36,358
|
|
1,499
|
WESTPORT FUND-CL R
|
34,865
|
|
1,137
|
WILLIAM BLAIR SMALL CAP VALUE FUND CL N
|
13,935
|
|
803
|
WINTERGREEN FD INC
|
11,308
|
|
694
|
WORLD FUNDS INC NEW THIRD MILLENNIUM RUSSIA FUND
|
11,544
|
|
6,691
|
YACKTMAN FOCUSED FUND
|
125,650
|
|
7,894
|
YACKTMAN FUND INC
|
138,222
|
|
Total Registered Investment Companies
|
$
|
94,923,728
|
|
Notes Receivable From Participants (interest rate ranging from 4.25% through 10.5% maturing through November 2026)
|
$
|
74,987,631
|
|
Net Assets Pending Settlement
|
$
|
3,786,408
|
|
TOTAL NET ASSETS
|
$
|
3,018,675,861
|
Number of
|
|||||||
Assets Acquired and Disposed
|
Shares/Units
|
Fair Value
|
|||||
American Electric Power Company, Inc. Common Stock $6.50 par value (a)
|
|||||||
Acquired:
|
2,027,581
|
Shares
|
$
|
73,409,682
|
|||
Disposed:
|
2,723,501
|
Shares
|
$
|
101,043,950
|
|
(a) Transactions are recorded on the trade date.
|
Exhibit Number
|
Description
|
||
23
|
Consent of Independent Registered Public Accounting Firm
|