UNITED STATES
SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549-1004

 


 

FORM 11-K

 

 

(Mark One)

/ X /

Annual Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934

 

 

 

For the fiscal year ended December 31, 2009     Commission file number 001-09553

 

 

OR

 

 

/   /

Transition Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934

 

 

CBS 401(k) PLAN


 

(Full title of the plan)

 

 

CBS CORPORATION


 

(Name of issuer of the securities held pursuant to the plan)

 

 

51 West 52nd Street

New York, New York 10019


 

(Address of principal executive office)

 

 

 



 

CBS 401(k) PLAN

 

FINANCIAL STATEMENTS, SUPPLEMENTAL SCHEDULES AND EXHIBITS

DECEMBER 31, 2009 AND 2008

 

INDEX

 

 

Pages

 

 

Report of Independent Registered Public Accounting Firm

1

 

 

Financial Statements:

 

 

 

Statements of Net Assets Available for Benefits at December 31, 2009 and 2008

2

 

 

Statement of Changes in Net Assets Available for Benefits for the Year ended December 31, 2009

3

 

 

Notes to financial statements

4 – 19

 

 

 

Schedules

Supplemental Schedules:

 

Schedule H, line 4a — Schedule of Delinquent Participant Contributions

S – 1

 

 

Schedule H, line 4i — Schedule of Assets (Held at End of Year)

S – 2 – S – 16

 

 

All other schedules required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 are omitted as not applicable or not required.

 

 

 

Signatures

S – 17

 

 

Exhibit:

 

23.1 Consent of Independent Registered Public Accounting Firm

 

 



 

Report of Independent Registered Public Accounting Firm

 

To the Participants and Administrator of the

CBS 401(k) Plan

 

 

In our opinion, the accompanying statements of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the CBS 401(k) Plan (the “Plan”) at December 31, 2009 and December 31, 2008, and the changes in net assets available for benefits for the year ended December 31, 2009 in conformity with accounting principles generally accepted in the United States of America.  These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.  We conducted our audits of these statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement.  An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation.  We believe that our audits provide a reasonable basis for our opinion.

 

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental Schedule of Delinquent Participant Contributions and the Schedule of Assets (Held at End of Year) are presented for the purpose of additional analysis and are not a required part of the basic financial statements but are supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. These supplemental schedules are the responsibility of the Plan’s management.  The supplemental schedules have been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, are fairly stated in all material respects in relation to the basic financial statements taken as a whole.

 

 

/s/ PRICEWATERHOUSECOOPERS LLP

 

New York, New York

June 28, 2010

 



 

CBS 401(k) PLAN

 

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS

(In thousands)

 

 

 

 

At December 31,

 

 

 

2009

 

2008

 

Assets

 

 

 

 

 

Investments, at fair value:

 

 

 

 

 

Investments

 

$3,340,311

 

$2,920,706

 

Participant loans

 

25,652

 

25,637

 

 

 

 

 

 

 

Receivables:

 

 

 

 

 

Employee contributions

 

2,036

 

 

Employer contributions

 

2,317

 

1,682

 

Interest and dividends

 

6,421

 

5,236

 

Due from broker for securities sold

 

121

 

600

 

Total assets

 

3,376,858

 

2,953,861

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

Accrued expenses and other liabilities

 

1,640

 

1,093

 

Due to broker for securities purchased

 

407

 

402

 

Net assets available for benefits, at fair value

 

3,374,811

 

2,952,366

 

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

 

(80,212

)

(17,387

)

Net assets available for benefits

 

$3,294,599

 

$2,934,979

 

 

The accompanying notes are an integral part of these financial statements.

 

2



 

CBS 401(k) PLAN

 

STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS

(In thousands)

 

 

 

 

Year Ended

 

 

December 31, 2009

Additions to net assets attributed to:

 

 

 

Investment income:

 

 

 

Net appreciation in fair value of investments

 

$

366,727

 

Interest

 

76,221

 

Dividends

 

7,926

 

 

 

 

 

Contributions:

 

 

 

Employee

 

102,678

 

Employer

 

35,897

 

Rollover

 

4,546

 

Total additions

 

593,995

 

 

 

 

 

Deductions from net assets attributed to:

 

 

 

Benefits paid to participants

 

(229,687

)

Plan expenses

 

(4,688

)

Total deductions

 

(234,375

)

 

 

 

 

Net increase

 

359,620

 

 

 

 

 

Net assets available for benefits, beginning of year

 

2,934,979

 

 

 

 

 

Net assets available for benefits, end of year

 

$

3,294,599

 

 

 

The accompanying notes are an integral part of these financial statements.

 

3



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS

(Tabular dollars in thousands)

 

 

NOTE 1 — PLAN DESCRIPTION

 

The following is a brief description of the CBS 401(k) Plan (the “Plan”) and is provided for general information only.  Participants should refer to the Plan document for more complete information regarding the Plan.

 

The Plan, sponsored by CBS Corporation (the “Company” or “CBS Corp.”), is a defined contribution plan offered on a voluntary basis to eligible employees of the Company and its subsidiaries.

 

Eligible full-time employees are automatically enrolled in the Plan following the attainment of age 21, unless they elect not to participate.  Part-time employees are automatically enrolled in the Plan following the attainment of age 21 and completion of one thousand hours of service within a consecutive twelve-month period, unless they elect not to participate.  The Plan is subject to the provisions of the Internal Revenue Code of 1986, as amended (the “Code”), and the Employee Retirement Income Security Act of 1974, as amended (“ERISA”), and is overseen by a retirement committee designated as the Plan administrator by the Company’s Board of Directors (the “Board”).

 

The Bank of New York Mellon (the “Trustee”) is the trustee and custodian and Mercer is the recordkeeper of the Plan.  Certain Plan investments are shares of funds managed by the Trustee or companies affiliated with the Trustee and therefore qualify as a party-in-interest transaction.  The fair value of these investments was $221.9 million at December 31, 2009 and $147.6 million at December 31, 2008 and these investments appreciated by $19.9 million for the year ended December 31, 2009.  In addition, certain Plan investments are shares of CBS Corp. common stock and therefore qualify as a party-in-interest transaction. The fair value of these investments was $171.0 million at December 31, 2009 and $66.2 million at December 31, 2008 and these investments appreciated by $81.0 million for the year ended December 31, 2009.  During the year ended December 31, 2009, the Plan purchased $36.4 million of CBS Corp. common stock and sold $11.0 million of CBS Corp. common stock.

 

Participant Accounts

 

Each Plan participant’s account is credited with the participant’s contributions, the employer matching contributions, the participant’s share of the investment income (loss) and any realized or unrealized gains or losses of the Plan’s assets, net of certain plan expenses.

 

Participants have the option of investing their contributions or existing account balances among various investment options.  These investment options include common collective funds, registered investment companies (mutual funds), separately managed accounts, which primarily invest in

 

4



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

common stocks and mutual funds, a fixed income fund, consisting of guaranteed investment contracts and synthetic guaranteed investment contracts, and CBS Corp. Class B Common Stock.

 

The CBS Corp. Common Stock Funds are part of an Employee Stock Ownership Plan (“ESOP”).  As a result, the Plan offers an ESOP dividend election under which Plan participants can elect to reinvest any ESOP dividends paid on vested shares back into the ESOP account in CBS Corp. Class B Common Stock or to receive the dividends as a cash payout.  If a participant does not make an election, the dividends are reinvested in the ESOP account.

 

Participants may also elect to open a self-directed brokerage account (“SDA”).  Participants may not contribute directly to the SDA, but may transfer balances to the SDA from other investment funds except the fixed income fund.  A participant may transfer up to 25% of his or her account balance (net of loans) to the SDA.  The initial transfer to the SDA may not be less than $2,500 and there is no minimum for subsequent individual transfers.

 

Contributions

 

The Plan permits participants to contribute up to 15% of annual compensation on a traditional after-tax basis or 50% on a before-tax, Roth 401(k) after-tax or combination basis, subject to the Code limitations set forth below.  Roth 401(k) contributions and the related earnings can be withdrawn tax-free if certain requirements are met. The level of employer matching contributions is entirely at the discretion of the Board for all participants in the Plan.  For 2009, the Board set the employer’s matching contribution at 60% of the first 5% of eligible compensation contributed on a before-tax or Roth 401(k) basis.

 

Employer matching contributions are initially invested entirely in CBS Corp. Class B Common Stock.  Participants are permitted to immediately transfer their Company matching contributions out of CBS Corp. Class B Common Stock and into any other investment option.

 

Eligible full-time newly hired employees are immediately eligible to participate in the Plan and deemed to have authorized the Company to make before-tax contributions in the Plan in an amount equal to 5% of the employee’s eligible compensation upon his or her date of hire.  Any such deemed authorization takes effect following the 60th day the employee becomes eligible to participate in the Plan.  However, a deemed authorization does not take effect if, during the 60-day period the employee elects not to participate in the Plan or to participate at a different contribution rate.

 

All participants who have attained age 50 before the close of the calendar year are eligible to make catch-up contributions.  These contributions are not treated as matchable contributions. Catch-up contributions can be made if the eligible participants make the maximum contribution permitted under the Plan for a plan year.  The limit for catch-up contributions is $5,500 in 2009.

 

5



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

The Code limits the amount of annual participant contributions that can be made on a before-tax or Roth 401(k) basis to $16,500 for 2009.  Total compensation considered under the Plan, based on Code limits, may not exceed $245,000 for 2009.  The Code also limits annual aggregate participant and employer contributions to the lesser of $49,000 or 100% of compensation in 2009.  All contributions made to the Plan on an annual basis may be further limited due to certain non-discrimination tests prescribed by the Code.

 

Vesting

 

Participants in the Plan are immediately vested in their own contributions and earnings thereon.  Employer matching contributions vest at 20% per year of service, becoming fully vested after five years of service.  If participants terminate employment prior to being vested in their employer matching contributions, the non-vested portion of their account is forfeited and may be used to reduce future employer matching contributions and to pay administrative expenses.  Forfeitures are recorded at the time vested benefits are distributed.  Employer matching contributions of approximately $1,239,000 and $1,507,000 were forfeited in 2009 and 2008, respectively.  The Company utilized forfeitures of approximately $559,000 to pay administrative expenses during 2009. There were no forfeitures used to reduce matching contributions during 2009.  As of December 31, 2009 and 2008, the Company had forfeitures of approximately $2,651,000 and $2,106,000, respectively, available to be used as noted above.

 

Loans

 

Eligible participants may request a loan for up to the lesser of 50% of the participant’s vested account balance or $50,000, reduced by the highest outstanding balance of any Plan loan made to the participant during the twelve-month period ending on the day before the loan is made.  The minimum loan available to a participant is $500.  The interest rate on participant loans is one percentage point above the annual prime commercial rate (as published in The Wall Street Journal) on the first day of the calendar month in which the loan is approved. Principal and interest is payable through payroll deductions.  Only one loan may be outstanding at any time. Participants may elect repayment periods from 12 to 60 months commencing as soon as administratively possible following the distribution of the loan proceeds to the participant.  The Plan allows participants to elect a repayment term of up to 300 months for loans used for the acquisition of a principal residence.  Repayments of loan principal and interest are allocated in accordance with the participants’ then current investment elections.

 

The loans outstanding carry interest rates ranging from 4.25% to 11.50% as of December 31, 2009.

 

6



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

Distributions and Withdrawals

 

Earnings on both employee and employer contributions are not subject to income tax until they are distributed or withdrawn from the Plan.

 

Participants in the Plan, or their beneficiaries, may receive their vested account balances in a lump sum or in installments over a period of up to 20 years in the event of retirement, termination of employment, disability or death. In the event of termination of employment, participants may also elect partial distribution of their account balance.  In general, participants must receive a required minimum distribution upon attainment of age 70 1/2 unless they are still employed.

 

Participants in the Plan may withdraw part or all of their after-tax and rollover contributions.  Upon attainment of age 59 1/2, participants may also withdraw all or part of their before-tax or Roth 401(k) contributions and earnings thereon.  The Plan limits participants to two of the above withdrawal elections in each calendar year.

 

A participant may obtain a financial hardship withdrawal of the vested portion of employer matching contributions and before-tax or Roth 401(k) contributions provided that the requirements for hardship are met and only to the extent required to relieve such financial hardship.  There is no restriction on the number of hardship withdrawals permitted.

 

When a participant terminates employment with the Company, the full value of employee contributions and earnings thereon plus the value of all vested employer matching contributions can be rolled over to a tax qualified retirement plan or an Individual Retirement Account (“IRA”) or remain in the Plan rather than being distributed.  If the vested account balance is $1,000 or less and the participant does not make an election to rollover the vested account balance it will be automatically paid in a single lump sum cash payment and taxes will be withheld from the distribution.

 

Plan Expenses

 

The fees for investment of Plan assets are charged to the Plan’s investment funds.  Certain administrative expenses such as fees for accounting and employee communications may be paid by the Plan using forfeitures or may be paid by the Company.  Recordkeeping and trustee fees are paid from participant accounts. For 2009, $567,975 was paid to the Trustee, a party-in-interest, and its affiliates for services provided during the year.

 

7



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

NOTE 2 - SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

 

Basis of Accounting

 

The financial statements are prepared on the accrual basis of accounting in conformity with accounting standards generally accepted in the United States of America.  Certain previously reported amounts have been reclassified to conform to the current presentation.

 

In accordance with the Financial Accounting Standards Board (“FASB”) guidance, contract value was determined to be the relevant measurement attribute for the portion of net assets available for benefits attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan.  As a result, the Statement of Net Assets Available for Benefits presents the investments at fair value with a separate adjustment from fair value to contract value for the portion of net assets attributable to each fully benefit-responsive investment contract.  The Statement of Changes in Net Assets Available for Benefits is prepared on a contract value basis with respect to the fully benefit-responsive investment contracts.

 

Investment Valuation and Income Recognition

 

Short-term money market investments are carried at amortized cost which approximates fair value due to the short-term maturity of these investments.  Investments in common stock are reported at fair value based on quoted market prices on national security exchanges.  Investments in registered investment companies are reported at fair value based on quoted market prices representing the net asset value of the shares held by the Plan. The fair value of investments in separately managed accounts is determined by the Trustee based upon the fair value of the underlying securities.  The fair values of investments in common collective funds are determined using the Net Asset Value (“NAV”) provided by the administrator of the fund.  The NAV is determined by each fund’s trustee based upon the fair value of the underlying assets owned by the fund, less liabilities, divided by the number of outstanding units.  The common collective funds have daily redemptions and trading terms varying from one to three days.  The common collective funds have no unfunded commitments at December 31, 2009.  The fair value of fixed income securities is determined by independent pricing sources based on quoted market prices, when available, or using valuation models which incorporate certain other observable inputs including recent trading activity for comparable securities and broker quoted prices. Participant loans are recorded at cost, which approximates fair value.  Cash and cash equivalents are valued at cost plus accrued interest, which approximates market value. Interest income is accrued as earned and dividend income is recorded on the ex-dividend date.

 

8



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

Interest rate swaps are recorded at fair value and marked-to-market through the duration of the contract term with an offsetting increase to unrealized appreciation (depreciation).  Futures are marked-to-market and settled daily.  The daily receipt or payment is recognized as unrealized appreciation (depreciation) until the contract is closed at which time the total fair value of the futures contract is recognized as a realized gain (loss).

 

The Plan invests in fully benefit-responsive traditional and synthetic guaranteed investment contracts through a fixed income fund. The contract value of guaranteed investment contracts and synthetic guaranteed investment contracts represents the aggregate amount of deposits thereto, plus interest at the contract rate, less withdrawals.  The fair value of the fixed rate traditional guaranteed investment contracts is determined by discounting the related cash flows, based on the contract duration, using a yield curve interpolated from swap rates and adjusted for liquidity and credit quality.  The fair value of synthetic guaranteed investment contracts is determined based on quoted market prices for the underlying assets. The fair value of the wrapper contracts for synthetic guaranteed investment contracts is determined using the replacement cost methodology that incorporates various inputs including the difference between the market rate for wrap fees and the actual wrap fees currently charged.

 

Security Transactions

 

Purchases and sales of securities are recorded on the trade date.  The average cost basis is used to determine gains or losses on security dispositions.

 

The Plan presents in the Statement of Changes in Net Assets Available for Benefits, the net appreciation or depreciation in the fair value of its investments, which consists of the realized gains and losses and the unrealized appreciation and depreciation on those investments which are presented at fair value.

 

Payment of Benefits

 

Benefit payments are recorded when paid.

 

9



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

Use of Estimates

 

The preparation of financial statements in conformity with accounting principles generally accepted in the United States (“U.S.”) requires the Plan to make estimates and assumptions, such as those regarding fair value of investments, that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of changes in net assets available for benefits during the reporting period.  Actual results could differ from those estimates.

 

Adoption of New Accounting Standards

 

Accounting Standards Codification

 

In 2009, the FASB established the FASB Accounting Standards Codification as the source of authoritative U.S. generally accepted accounting principles recognized by the FASB.

 

Derivative Instruments

 

In 2009, the Plan adopted new FASB guidance which requires enhanced disclosures about derivative instruments and hedging activities.  (See Note 6.)

 

Fair Value Measurements

 

Effective January 1, 2008, the Plan adopted new FASB guidance for its financial assets and liabilities which establishes a framework for measuring fair value and expands disclosure requirements about fair value measurements.  During August 2009, the FASB issued further guidance on how to measure the fair value of a liability.  This guidance did not have a material effect on the Plan’s financial statements.

 

In 2009, the Plan adopted amended FASB guidance for the fair value measurement of investments that calculate NAV per share.  This guidance permits, in certain circumstances, the measurement of the fair value of an investment on the basis of NAV per share of the investment.  This guidance also requires disclosure by major category of investment about the attributes of investments and the investment strategies of the investees.  This guidance did not have a material effect on the Plan’s financial statements.

 

During 2009, the Plan adopted new FASB guidance which requires enhanced disclosures around major security types and changes in valuation techniques and related inputs, if any, during the period.  (See Note 5.)

 

10



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

Subsequent Events

 

In 2009, the Plan adopted new FASB guidance for subsequent events.  This guidance establishes general standards of accounting for and disclosure of events that occur after the date of the Statement of Net Assets Available for Benefits but before the financial statements are issued or available to be issued.

 

Recent Pronouncements

 

In January 2010, the FASB issued guidance which requires enhanced disclosures about transfers between levels of the three-level fair value hierarchy, requires separate disclosures of purchases, sales, issuances, and settlements in the rollforward of activity relating to Level 3 fair value measurements, and provides clarification of existing fair value disclosures.  This guidance is effective for the Plan’s annual reporting period ending December 31, 2010, except for the requirement to provide expanded disclosure in the rollforward of activity of Level 3 fair value measurements, which will be effective for the Plan’s annual reporting period ending December 31, 2011.  The Plan Administrator is currently evaluating the impact of this guidance on the Plan’s financial statements.

 

NOTE 3 – RISKS AND UNCERTAINTIES

 

The Plan provides for various investment options.  Investment securities are exposed to various risks such as interest rate, market and credit.  Market values of investments could decline for several reasons including changes in prevailing market and interest rates, increases in defaults, and credit rating downgrades. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of such securities, it is at least reasonably possible that changes in investment values in the near term could materially affect participants’ account balances and the amounts reported in the Statements of Net Assets Available for Benefits and the related Statement of Changes in Net Assets Available for Benefits.

 

11



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

NOTE 4 – INVESTMENTS

 

Individual investments representing 5% or more of the Plan’s net assets available for benefits are identified below:

 

 

 

At December 31,

 

 

 

2009

 

2008

 

BlackRock S&P 500 Index Fund (a)

 

$

469,994

 

$

390,229

 

CBS Corporation Class B Common Stock

 

$

170,607

 

$

67,213

 

Synthetic guaranteed investment contracts, at contract value:

 

 

 

 

 

Monumental Life Insurance MDA00930TR

 

$

504,295

 

$

485,614

 

JPMorgan Chase Bank ACBS-01

 

$

418,786

 

$

398,691

 

Natixis Financial Products, Inc. No. 1222-01

 

$

326,867

 

$

312,035

 

State Street Bank and Trust Co. No. 108002

 

$

238,606

 

$

264,178

 

Natixis Financial Products, Inc. No. 1222-02

 

$

181,951

 

$

201,429

 

 

(a)           Formerly known as Barclays Global Investors S&P 500 Index Fund.

 

During the year ended December 31, 2009 the Plan’s investments (including gains and losses on investments sold and held during the year) appreciated as follows:

 

Common collective funds

 

$

199,464

 

Separately managed accounts

 

61,515

 

Common stock

 

86,018

 

Mutual funds

 

19,229

 

Other

 

501

 

Net appreciation in fair value of investments

 

$

366,727

 

 

Investment Contracts

 

The Plan invests in guaranteed investment contracts and synthetic guaranteed investment contracts. As described in Note 2, the guaranteed investment contracts are fully benefit-responsive and therefore, contract value is the relevant measurement attribute for that portion of the net assets available for benefits attributable to these contracts.  In a guaranteed investment contract, a deposit in the fund is used by the issuer to purchase investments that are held in the issuer’s general accounts.  The issuer is contractually obligated to repay the principal and a specified rate of interest guaranteed to the fund. There are no reserves against contract value for credit risk of the contract issuer or otherwise. A synthetic guaranteed investment contract provides for guaranteed returns of principal over a specified period of time through benefit-responsive wrapper contracts, issued by a third party insurance company or bank, which are backed by underlying assets.

 

12



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

The interest crediting rate reflects the rate earned by participants for the underlying investments.  The wrapper contracts amortize the realized and unrealized gains and losses on the underlying fixed income investments, typically over the duration of the investments, through adjustments to the future interest crediting rate.  Interest crediting rates are typically reset on a monthly or quarterly basis and all wrapper contract issuers provide that adjustments to the interest crediting rate cannot result in a future interest crediting rate that is less than zero.  Certain factors can influence the future interest crediting rates including, the level of market interest rates, the amount and timing of participant contributions and withdrawals, the returns generated by the fixed income investments that back the contract and the duration of the underlying investments backing the contract.

 

In certain circumstances, the amounts withdrawn from the investment contracts will be paid at fair value rather than contract value.  These events include plan termination, a material adverse change to the provisions of the plan, an employer election to withdraw from the contract to switch to a different investment provider or if the terms of a successor plan do not meet the contract issuer’s underwriting criteria for issuance of a clone contract. The Company does not expect any employer initiated events that may cause premature liquidation of a contract at market value.

 

The contract issuer is permitted to terminate the fully benefit-responsive investment contracts with the Plan and settle at an amount different from contract value in certain events, including loss of the Plan’s qualified status, an un-cured material breach of responsibility, or material adverse changes to the provisions of the Plan.

 

At December 31, 2009 and 2008, guaranteed investment contracts and synthetic guaranteed investment contracts at contract value of $1,713,578,104 and $1,812,794,136, respectively, had fair values in the aggregate of $1,793,790,470 and $1,830,181,137, respectively.  The fair value of wrapper contracts was $4,476,517 and $3,034,164 at December 31, 2009 and 2008, respectively.

 

The average yields for investment contracts in the fixed income fund were as follows:

 

 

 

At December 31,

 

 

 

2009

 

2008

 

Based on actual earnings

 

3.0%

 

4.5%

 

Based on interest rate credited to participants

 

4.0%

 

4.3%

 

 

13



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

The following table presents the fair value of the assets, by type, that support the Plan’s synthetic guaranteed investment contracts held in the fixed income fund at December 31, 2009 and 2008.

 

 

 

At December 31,

 

 

 

2009

 

2008

 

Cash and cash equivalents

 

$

88

 

$

99,868

 

Money market funds

 

39,970

 

32,696

 

Common collective funds

 

534,899

 

432,011

 

Fixed income

 

1,153,629

 

1,232,995

 

Futures

 

1,081

 

 

Options

 

(1,878

)

 

Swaps

 

587

 

(15,667

)

Wrapper value

 

4,477

 

3,034

 

Net receivables (payables)

 

15,967

 

(70,607

)

Synthetic guaranteed investment contracts

 

$

1,748,820

 

$

1,714,330

 

 

NOTE 5 - FAIR VALUE MEASUREMENTS

 

The following tables set forth the Plan’s financial assets measured at fair value on a recurring basis at December 31, 2009 and 2008.  These assets have been categorized according to the three-level fair value hierarchy established by the FASB, which prioritizes the inputs used in measuring fair value.  Level 1 is based on quoted prices for the asset in active markets.  Level 2 is based on inputs that are observable other than quoted market prices in Level 1, such as quoted prices for the asset in inactive markets or quoted prices for similar assets.  Level 3 is based on unobservable inputs reflecting the Plan’s own assumptions about the assumptions that market participants would use in pricing the asset.  For the year ended December 31, 2009, the Plan adopted new FASB guidance which requires enhanced disclosures around major security types.  As a result, the presentation for the table at December 31, 2008 does not reflect the adoption of this guidance.  See Note 2 for the valuation methodology used to measure the fair value of these investments.

 

14



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

At December 31, 2009

 

Level 1

 

Level 2

 

Level 3

 

Total

 

Fixed income fund:

 

 

 

 

 

 

 

 

 

Money market funds

 

$

 

$

65,541

 

$

 

$

65,541

 

Guaranteed investment contracts

 

 

 

44,970

 

44,970

 

Assets held under synthetic guaranteed investment contracts:

 

 

 

 

 

 

 

 

 

Cash and cash equivalents, including net receivables

 

13,752

 

2,303

 

 

16,055

 

Money market funds

 

 

39,970

 

 

39,970

 

Common collective funds (a)

 

 

534,899

 

 

534,899

 

U.S. Treasury securities

 

277,436

 

 

 

277,436

 

Government related securities

 

 

248,858

 

 

248,858

 

Corporate bonds

 

 

390,201

 

 

390,201

 

Mortgage-backed and asset-backed securities

 

 

237,134

 

 

237,134

 

Futures (b)

 

1,081

 

 

 

1,081

 

Options (b)

 

 

(1,878

)

 

(1,878

)

Swaps (b)

 

 

587

 

 

587

 

Wrapper value

 

 

 

4,477

 

4,477

 

Common collective funds:

 

 

 

 

 

 

 

 

 

S&P 500 index fund (c)

 

 

469,994

 

 

469,994

 

Target date retirement funds (d)

 

 

199,976

 

 

199,976

 

Emerging markets equity fund

 

 

104,703

 

 

104,703

 

General bond index fund

 

 

93,111

 

 

93,111

 

International equity fund

 

 

86,582

 

 

86,582

 

Separately managed accounts:

 

 

 

 

 

 

 

 

 

Wellington Growth Portfolio (e)

 

105,666

 

999

 

 

106,665

 

Dodge & Cox Value Equity Fund (e)

 

85,784

 

3,496

 

 

89,280

 

Mellon Capital Mid Cap Stock Fund (f)

 

59,034

 

565

 

 

59,599

 

Common stock:

 

 

 

 

 

 

 

 

 

CBS Corp. Common Stock

 

171,001

 

 

 

171,001

 

Other Common Stock

 

13,968

 

 

 

13,968

 

Registered investment companies (g)

 

76,089

 

 

 

76,089

 

Money market funds

 

 

9,213

 

 

9,213

 

Participant loans

 

 

 

25,652

 

25,652

 

Other

 

799

 

 

 

799

 

Total

 

$

804,610

 

$

2,486,254

 

$

75,099

 

$

3,365,963

 

 

(a)   Primarily invested in mortgage-backed and U.S. government fixed income securities.

(b)   See Note 6 for asset and liability positions of derivative financial instruments.

(c)   Primarily invested in large capitalization equities.

(d)   Primarily invested in a mix of equities and bonds based on target retirement year.

(e)   Primarily invested in large capitalization equities.  Assets categorized as Level 2 reflect investments in mutual funds.

(f)   Primarily invested in mid capitalization equities.  Assets categorized as Level 2 reflect investments in mutual funds.

(g)   Primarily invested in small capitalization equities.

 

15



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

At December 31, 2008

 

Level 1

 

Level 2

 

Level 3

 

Total

 

Common collective funds

 

$

 

$

740,077

 

$

 

$

740,077

 

Separately managed accounts:

 

 

 

 

 

 

 

 

 

Wellington Growth Portfolio (a)

 

78,601

 

681

 

 

79,282

 

Dodge & Cox Value Equity Fund (a)

 

66,343

 

2,630

 

 

68,973

 

Mellon Capital Mid Cap Stock Fund (b)

 

42,439

 

232

 

 

42,671

 

Common stock

 

74,282

 

 

 

74,282

 

Mutual funds

 

53,400

 

31,048

 

 

84,448

 

Guaranteed investment contracts

 

 

 

115,851

 

115,851

 

Synthetic guaranteed investment contracts

 

204,323

 

1,506,973

 

3,034

 

1,714,330

 

Participant loans

 

 

 

25,637

 

25,637

 

Other

 

792

 

 

 

792

 

Total

 

$

520,180

 

$

2,281,641

 

$

144,522

 

$

2,946,343

 

 

(a)           Primarily invested in large capitalization equities.  Assets categorized as Level 2 reflect investments in mutual funds.

(b)          Primarily invested in mid capitalization equities.  Assets categorized as Level 2 reflect investments in mutual funds.

 

The table below sets forth a summary of changes in the fair value of the Plan’s Level 3 assets at December 31, 2009.

 

 

 

Guaranteed
Investment
Contracts

 

Wrapper
Value

 

Participant
Loans

 

At January 1, 2009

 

$

115,851

 

 

$

3,034

 

 

$

25,637

 

 

Actual return on investments:

 

 

 

 

 

 

 

 

 

 

Related to investments held at end of year

 

1,454

 

 

1,443

 

 

 

 

Related to investments sold during the year

 

3,103

 

 

 

 

 

 

Purchases, sales, issuances and settlements, net

 

(75,438

)

 

 

 

15

 

 

At December 31, 2009

 

$

44,970

 

 

$

4,477

 

 

$

25,652

 

 

 

16



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

NOTE 6 - FINANCIAL INSTRUMENTS

 

As part of their investment strategy, the managers of certain of the Plan’s investment funds may use derivative financial instruments for various purposes including, managing exposure to sector risk or movements in interest rates, extending the duration of the life of the investment portfolio and as a substitute for cash securities. The derivative instruments typically used are interest rate swaps, futures and options.  There is exposure to credit loss in the event of nonperformance by counterparties to derivative transactions.  The Plan’s investment managers continually monitor the Plan’s positions with, and credit quality of, the financial institutions which are counterparties to its derivative instruments. Nonperformance by any of the counterparties is not anticipated.

 

The notional amount of outstanding swap contracts was $51.4 million at December 31, 2009 and $266.1 million at December 31, 2008.  The notional amount of outstanding futures contracts was $25.1 million at December 31, 2009 and $717.0 million at December 31, 2008.

 

The fair value of derivative financial instruments recorded on the Statement of Net Assets Available for Benefits at December 31, 2009 was as follows:

 

 

 

Fair Value

 

Statement of Net Assets
Available for Benefits Account

 

 

 

 

 

 

 

 

Asset position:

 

 

 

 

 

 

Interest rate futures

 

$

1,509

 

 

Investments

 

Interest rate options

 

$

531

 

 

Investments

 

Interest rate swaps

 

$

895

 

 

Investments

 

 

 

 

 

 

 

 

Liability position:

 

 

 

 

 

 

Interest rate futures

 

$

(428

)

 

Investments

 

Interest rate options

 

$

(2,409

)

 

Investments

 

Interest rate swaps

 

$

(308

)

 

Investments

 

 

Gains (losses) recognized on derivative financial instruments were as follows:

 

 

 

Twelve Months Ended
December 31, 2009

 

Financial Statement Account

 

 

 

 

 

 

 

Interest rate futures

 

$

(1,384

)

 

Net appreciation in fair value of investments

 

Interest rate options

 

$

635

 

 

Net appreciation in fair value of investments

 

Interest rate swaps

 

$

(4,414

)

 

Net appreciation in fair value of investments

 

 

17



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

NOTE 7 - INCOME TAX STATUS

 

The Internal Revenue Service issued a favorable determination letter dated May 20, 2003, that the Plan continues to satisfy the requirements of Section 401(a) of the Code and that the trust thereunder is exempt from federal income taxes under the provisions of Section 501(a) of the Code.  The Plan has been amended since receiving the determination letter, was restated effective January 1, 2008 and the restated Plan has subsequently been amended.  The Plan administrator believes that the Plan is designed and is currently being operated in compliance with the applicable provisions of the Code.  On February 2, 2009, the restated Plan was submitted to the Internal Revenue Service for routine periodic review and to obtain an updated determination letter.

 

NOTE 8 – TERMINATION PRIORITIES

 

Although the Company anticipates that the Plan will continue indefinitely, it reserves the right, by action of its Board, to amend or terminate the Plan provided that such action does not retroactively reduce earned participant benefits.

 

In the event of Plan termination, participants become fully vested.  Upon termination, the Plan provides that the net assets of the Plan would be distributed to participants based on their respective account balances.

 

NOTE 9 - RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500

 

The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500:

 

 

 

At December 31,

 

 

 

2009

 

2008

 

 

 

 

 

 

 

Net assets available for benefits per the financial statements

 

$

3,294,599

 

$

2,934,979

 

Amounts allocated to withdrawing participants

 

(452

)

(309

)

Adjustment from contract value to fair value for fully benefit-responsive investment contracts

 

80,212

 

17,387

 

Net assets available for benefits per the Form 5500

 

$

3,374,359

 

$

2,952,057

 

 

18



 

CBS 401(k) PLAN

 

NOTES TO THE FINANCIAL STATEMENTS (Continued)

(Tabular dollars in thousands)

 

 

The following is a reconciliation of the net increase in net assets available for benefits as reflected in the financial statements to the Form 5500:

 

 

 

Year Ended
December 31, 2009

 

 

 

 

 

 

Net increase in net assets available for benefits per the financial statements

 

$

359,620 

 

 

Less: Amounts allocated to withdrawing participants at December 31, 2009

 

(452)

 

 

Add: Amounts allocated to withdrawing participants at December 31, 2008

 

309  

 

 

Add: Adjustment from contract value to fair value for fully benefit-responsive investment contracts at December 31, 2009

 

80,212 

 

 

Less: Adjustment from contract value to fair value for fully benefit-responsive investment contracts at December 31, 2008

 

(17,387)

 

 

Net increase in net assets available for benefits per the Form 5500

 

$

422,302

 

 

 

Amounts allocated to withdrawing participants are recorded on the Form 5500 for benefit claims that have been processed and approved for payment prior to December 31, 2009, but were not paid as of that date.

 

19



 

SCHEDULE H, line 4a

 

CBS 401 (k) PLAN

SCHEDULE OF DELINQUENT PARTICIPANT CONTRIBUTIONS

For the year ended December 31, 2009

(Dollars in thousands)

 

Participant
Contributions
Transferred Late to Plan

 

Total That Constitute Nonexempt Prohibited Transactions

 

Total Fully Corrected
Under Voluntary
Fiduciary Correction
Program (VFCP) and
Prohibited Transaction
Exemption 2002-51

Check Here

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

If Late Participant Loan
Repayments Are
Included

 

Contributions
Not Corrected

 

Contributions Corrected
Outside National Family
Caregiver Program

 

Contributions Pending
Correction in VFCP

 

 $

5

 

-

 

-

 

 $

5

 

-

 

S - 1



 

SCHEDULE H, line 4i

 

CBS 401 (k) PLAN

SCHEDULE OF ASSETS (HELD AT END OF YEAR)

December 31, 2009

(Dollars in thousands)

 

 

 

 

 

 

 

Identity of issuer, borrower, lessor or similar party

 

Maturity and Interest Rates

 

Cost(3)

 

Current Value

 

Wrapper
Value

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Self Directed Accounts

 

 

 

 

 

$

 24,116

 

$

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Corporate Common Stock

 

 

 

 

 

 

 

 

*

 

 

 

CBS Corporation Class A Common Stock

 

 

 

 

 

394

 

-

*

 

 

 

CBS Corporation Class B Common Stock

 

 

 

 

 

170,607

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Corporate Common Stock

 

 

 

 

 

171,001

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Mutual Funds

 

 

 

 

 

 

 

 

 

 

 

 

DFA U.S. Small Cap Fund

 

 

 

 

 

72,269

 

-

*

 

 

 

Dreyfus Government Cash Management Fund

 

 

 

 

 

69,225

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Mutual Funds

 

 

 

 

 

141,494

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Common Collective Funds

 

 

 

 

 

 

 

 

 

 

 

 

BlackRock S&P 500 Index Fund

 

 

 

 

 

469,994

 

-

 

 

 

 

Capital Guardian Emerging Markets Equity Fund

 

 

 

 

 

104,703

 

-

*

 

 

 

BNY Mellon Aggregate Bond Index Fund

 

 

 

 

 

93,111

 

-

 

 

 

 

Capital Guardian International Equity Fund

 

 

 

 

 

86,582

 

-

 

 

 

 

BlackRock LifePath 2020 Fund

 

 

 

 

 

76,945

 

-

 

 

 

 

BlackRock LifePath 2040 Fund

 

 

 

 

 

50,161

 

-

 

 

 

 

BlackRock LifePath 2010 Fund

 

 

 

 

 

28,096

 

-

 

 

 

 

BlackRock LifePath 2035 Fund

 

 

 

 

 

10,224

 

-

 

 

 

 

BlackRock LifePath Retirement Fund

 

 

 

 

 

8,641

 

-

 

 

 

 

BlackRock LifePath 2030 Fund

 

 

 

 

 

8,460

 

-

 

 

 

 

BlackRock LifePath 2015 Fund

 

 

 

 

 

5,792

 

-

 

 

 

 

BlackRock LifePath 2025 Fund

 

 

 

 

 

5,141

 

-

 

 

 

 

BlackRock LifePath 2050 Fund

 

 

 

 

 

3,275

 

-

 

 

 

 

BlackRock LifePath 2045 Fund

 

 

 

 

 

3,241

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Common Collective Funds

 

 

 

 

 

954,366

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Separately Managed Accounts

 

 

 

 

 

 

 

 

 

 

(1)

 

Wellington Growth Portfolio

 

 

 

 

 

106,665

 

-

 

 

(1)

 

Dodge & Cox Value Equity Fund

 

 

 

 

 

89,280

 

-

*

 

(1)

 

Mellon Capital Mid Cap Stock Fund

 

 

 

 

 

59,599

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Separately Managed Accounts

 

 

 

 

 

255,544

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Guaranteed Investment Contracts, at contract value

 

 

 

 

 

 

 

 

 

 

 

 

Prudential Insurance Company of America

 

 

 

 

 

 

 

 

 

 

 

 

G-10112-215

 

12/10/2013 and 5.09%

 

 

 

21,549

 

-

 

 

 

 

Jackson National Life Insurance Company

 

 

 

 

 

 

 

 

 

 

 

 

G-1378-4

 

12/2/2013 and 5.32%

 

 

 

21,524

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Guaranteed Investment Contracts

 

 

 

 

 

43,073

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Synthetic Guaranteed Investment Contracts, at contract value

 

 

 

 

 

 

 

 

 

 

(2)

 

Monumental Life Insurance Company

 

 

 

 

 

 

 

 

 

 

 

 

MDA00930TR

 

evergreen and variable %

 

 

 

504,295

 

-

 

 

(2)

 

JPMorgan Chase Bank

 

 

 

 

 

 

 

 

 

 

 

 

ACBS-01

 

evergreen and variable %

 

 

 

418,786

 

-

 

 

(2)

 

Natixis Financial Products, Inc.

 

 

 

 

 

 

 

 

 

 

 

 

No. 1222-01

 

evergreen and variable %

 

 

 

326,867

 

-

 

 

(2)

 

State Street Bank and Trust Co.

 

 

 

 

 

 

 

 

 

 

 

 

No. 108002

 

evergreen and variable %

 

 

 

238,606

 

-

 

 

(2)

 

Natixis Financial Products, Inc.

 

 

 

 

 

 

 

 

 

 

 

 

No. 1222-02

 

evergreen and variable %

 

 

 

181,951

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Synthetic Guaranteed Investment Contracts

 

 

 

 

 

1,670,505

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

*

 

 

 

Loans to Participants

 

Maturity dates through 2034 and interest rates ranging from 4.25% to 11.50%

 

 

 

25,652

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Assets

 

 

 

 

 

3,285,751

 

-

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Adjustment from contract value to fair value for fully benefit-responsive investment contracts

 

 

 

 

 

80,212

 

4,477  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Assets, at fair value

 

 

 

 

 

$

3,365,963

 

$

4,477  

 

 

 

 

 

*      Identified as a party-in-interest to the Plan.

 

 

 

 

 

 

 

 

 

(1)   Refer to Attachment A for listing of assets relating to these contracts.

 

 

 

 

(2)   Refer to Attachment B for listing of assets relating to these contracts.

 

 

 

 

(3)   There are no non-participant directed investments.

 

S - 2



 

Attachment A

(In thousands)

 

 

 

 

 

 

 

Current

 

Identity of Issuer

 

Description

 

Cost

 

Value

 

ACCENTURE PLC IRELAND SHS CL A

 

COMMON STOCK

 

 

 

$

 1,199

 

ALTERA CORP COM

 

COMMON STOCK

 

 

 

1,073

 

AMAZON.COM INC COM

 

COMMON STOCK

 

 

 

1,496

 

ANALOG DEVICES INC COM

 

COMMON STOCK

 

 

 

1,349

 

APOLLO GROUP INC CL A

 

COMMON STOCK

 

 

 

1,869

 

APPLE INC

 

COMMON STOCK

 

 

 

4,264

 

BARRICK GOLD CORP

 

COMMON STOCK

 

 

 

961

 

BEST BUY INC COM

 

COMMON STOCK

 

 

 

1,123

 

BHP BILLITON LTD

 

COMMON STOCK

 

 

 

1,294

 

BMC SOFTWARE INC COM

 

COMMON STOCK

 

 

 

937

 

BOEING CO COM

 

COMMON STOCK

 

 

 

1,354

 

CATERPILLAR INC

 

COMMON STOCK

 

 

 

279

 

CISCO SYS INC COM

 

COMMON STOCK

 

 

 

4,049

 

COACH INC COM

 

COMMON STOCK

 

 

 

2,141

 

CONSOL ENERGY INC COM

 

COMMON STOCK

 

 

 

1,235

 

COVIDIEN PLC SHS

 

COMMON STOCK

 

 

 

1,220

 

CUMMINS INC COM

 

COMMON STOCK

 

 

 

1,158

 

D R HORTON INC

 

COMMON STOCK

 

 

 

282

 

DREYFUS GOVT CASH MGMT FUND

 

MUTUAL FUND

 

 

 

999

 

EATON CORP

 

COMMON STOCK

 

 

 

703

 

EBAY INC COM

 

COMMON STOCK

 

 

 

1,105

 

EMC CORP MASS

 

COMMON STOCK

 

 

 

1,607

 

FEDEX CORP COM

 

COMMON STOCK

 

 

 

1,986

 

FREEPORT MCMORAN COPPER & GOLD

 

COMMON STOCK

 

 

 

1,066

 

GENERAL DYNAMICS CORP COM

 

COMMON STOCK

 

 

 

1,826

 

GOLDMAN SACHS GROUP INC COM

 

COMMON STOCK

 

 

 

2,132

 

GOOGLE INC CL A

 

COMMON STOCK

 

 

 

3,645

 

HALLIBURTON CO COM

 

COMMON STOCK

 

 

 

1,583

 

HARLEY DAVIDSON INC COM

 

COMMON STOCK

 

 

 

1,236

 

HARTFORD FINL SVCS GROUP INC

 

COMMON STOCK

 

 

 

2,924

 

HESS CORP

 

COMMON STOCK

 

 

 

1,581

 

ILLINOIS TOOL WKS INC COM

 

COMMON STOCK

 

 

 

1,448

 

INTERNATIONAL GAME TECHNOLOGY

 

COMMON STOCK

 

 

 

1,765

 

ITAU UNIBANCO HOLDING SA

 

COMMON STOCK

 

 

 

1,010

 

JOHNSON CTLS INC COM

 

COMMON STOCK

 

 

 

1,125

 

JUNIPER NETWORKS INC COM

 

COMMON STOCK

 

 

 

1,524

 

LINCOLN NATL CORP IND COM

 

COMMON STOCK

 

 

 

1,008

 

LOWES COS INC COM

 

COMMON STOCK

 

 

 

1,345

 

MASCO CORP COM

 

COMMON STOCK

 

 

 

542

 

MASTERCARD INC CL A

 

COMMON STOCK

 

 

 

1,508

 

MCAFEE INC

 

COMMON STOCK

 

 

 

1,030

 

MGM MIRAGE

 

COMMON STOCK

 

 

 

1,089

 

MICROSOFT CORP COM

 

COMMON STOCK

 

 

 

4,327

 

MOODYS CORP COM

 

COMMON STOCK

 

 

 

1,877

 

MOSAIC CO

 

COMMON STOCK

 

 

 

1,229

 

NATIONAL OILWELL VARCO INC

 

COMMON STOCK

 

 

 

1,602

 

NETAPP INC COM

 

COMMON STOCK

 

 

 

2,931

 

ORACLE CORPORATION COM

 

COMMON STOCK

 

 

 

3,653

 

PACCAR INC

 

COMMON STOCK

 

 

 

1,762

 

PETROLEO BRASILEIRO SA

 

COMMON STOCK

 

 

 

741

 

PRECISION CASTPARTS CORP

 

COMMON STOCK

 

 

 

2,322

 

QUALCOMM INC

 

COMMON STOCK

 

 

 

2,598

 

SCHLUMBERGER LTD COM

 

COMMON STOCK

 

 

 

2,625

 

SIEMENS AG SPONSORED ADR

 

COMMON STOCK

 

 

 

1,207

 

STAPLES INC COM

 

COMMON STOCK

 

 

 

1,879

 

SUNTRUST BKS INC

 

COMMON STOCK

 

 

 

989

 

TARGET CORP COM

 

COMMON STOCK

 

 

 

1,320

 

TEVA PHARMACEUTICAL INDS ADR

 

COMMON STOCK

 

 

 

881

 

TEXAS INSTRS INC COM

 

COMMON STOCK

 

 

 

1,629

 

TRANSOCEAN LTD ZUG NAMEN-AKT

 

COMMON STOCK

 

 

 

874

 

UBS AG SHS NEW

 

COMMON STOCK

 

 

 

1,033

 

VERISIGN INC COM

 

COMMON STOCK

 

 

 

751

 

VIACOM INC NEW CL B

 

COMMON STOCK

 

 

 

1,143

 

VISA INC COM CL A

 

COMMON STOCK

 

 

 

1,150

 

WELLS FARGO & CO NEW COM

 

COMMON STOCK

 

 

 

2,444

 

WESTERN UN CO COM

 

COMMON STOCK

 

 

 

1,384

 

YAHOO INC

 

COMMON STOCK

 

 

 

1,244

 

 

 

WELLINGTON GROWTH PORTFOLIO

 

 

$

 106,665

 

 

 

 

 

 

 

 

 

AEGON N V AMERICAN NY REGISTRY

 

COMMON STOCK

 

 

 

$

 289

 

AMGEN INC

 

COMMON STOCK

 

 

 

2,404

 

AOL INC

 

COMMON STOCK

 

 

 

296

 

AUTODESK INC COM

 

COMMON STOCK

 

 

 

155

 

BAKER HUGHES INC COM

 

COMMON STOCK

 

 

 

1,783

 

BANK NEW YORK MELLON CORP COM

 

COMMON STOCK

 

 

 

1,035

 

BB&T CORP COM

 

COMMON STOCK

 

 

 

637

 

BMC SOFTWARE INC COM

 

COMMON STOCK

 

 

 

702

 

BOSTON SCIENTIFIC CORP COM

 

COMMON STOCK

 

 

 

945

 

CADENCE DESIGN SYS INC COM

 

COMMON STOCK

 

 

 

150

 

CAPITAL ONE FINL CORP

 

COMMON STOCK

 

 

 

2,500

 

CARDINAL HEALTH INC COM

 

COMMON STOCK

 

 

 

222

 

CAREFUSION CORP

 

COMMON STOCK

 

 

 

563

 

CARMAX INC

 

COMMON STOCK

 

 

 

364

 

CATERPILLAR INC

 

COMMON STOCK

 

 

 

541

 

CEMEX SAB DE CV SPONS ADR NEW

 

COMMON STOCK

 

 

 

404

 

CHEVRON CORPORATION COM

 

COMMON STOCK

 

 

 

1,622

 

CITRIX SYS INC COM

 

COMMON STOCK

 

 

 

1,040

 

COMCAST CORP NEW CL A

 

COMMON STOCK

 

 

 

2,792

 

COMPUTER SCIENCES CORP COM

 

COMMON STOCK

 

 

 

938

 

COMPUWARE CORP

 

COMMON STOCK

 

 

 

434

 

COVIDIEN PLC SHS

 

COMMON STOCK

 

 

 

742

 

CREDIT SUISSE GROUP SPON ADR

 

COMMON STOCK

 

 

 

315

 

DIAGEO PLC SPONSORED ADR NEW

 

COMMON STOCK

 

 

 

222

 

DIRECTV COM CL A

 

COMMON STOCK

 

 

 

276

 

DISH NETWORK CORP CL A

 

COMMON STOCK

 

 

 

363

 

DOMTAR CORP COM NEW

 

COMMON STOCK

 

 

 

139

 

DOW CHEM CO COM

 

COMMON STOCK

 

 

 

1,851

 

DREYFUS GOVT CASH MGMT FUND

 

MUTUAL FUND

 

 

 

3,496

 

EATON CORP

 

COMMON STOCK

 

 

 

732

 

EBAY INC COM

 

COMMON STOCK

 

 

 

1,295

 

ELECTRONIC ARTS

 

COMMON STOCK

 

 

 

302

 

ERICSSON L M TEL CO ADR CL B

 

COMMON STOCK

 

 

 

501

 

FEDEX CORP COM

 

COMMON STOCK

 

 

 

2,120

 

GENERAL ELEC CO COM

 

COMMON STOCK

 

 

 

2,496

 

GENWORTH FINL INC

 

COMMON STOCK

 

 

 

170

 

GLAXOSMITHKLINE PLC SPONSORED

 

COMMON STOCK

 

 

 

2,112

 

HEWLETT PACKARD CO COM

 

COMMON STOCK

 

 

 

4,327

 

HITACHI LTD ADR 10

 

COMMON STOCK

 

 

 

319

 

HOME DEPOT INC COM

 

COMMON STOCK

 

 

 

1,620

 

HSBC HLDG PLC SPON ADR NEW

 

COMMON STOCK

 

 

 

700

 

INTERPUBLIC GROUP COS INC COM

 

COMMON STOCK

 

 

 

406

 

KONINKLIJKE PHILIPS ELECTRS NV

 

COMMON STOCK

 

 

 

265

 

LEGG MASON INC

 

COMMON STOCK

 

 

 

377

 

LIBERTY GLOBAL INC

 

COMMON STOCK

 

 

 

164

 

LIBERTY GLOBAL INC COM SER A

 

COMMON STOCK

 

 

 

88

 

LIBERTY MEDIA HLDG CORP

 

COMMON STOCK

 

 

 

759

 

LIBERTY MEDIA-STARZ SR A-W/I

 

COMMON STOCK

 

 

 

38

 

LOEWS CORP COM

 

COMMON STOCK

 

 

 

636

 

MACYS INC COM

 

COMMON STOCK

 

 

 

587

 

MAXIM INTEGRATED PRODS INC COM

 

COMMON STOCK

 

 

 

913

 

MEDTRONIC INC COM

 

COMMON STOCK

 

 

 

484

 

 

S - 3



 

Attachment A

(In thousands)

 

 

 

 

 

 

 

Current

 

Identity of Issuer

 

Description

 

Cost

 

Value

 

MERCK & CO INC NEW

 

COMMON STOCK

 

 

 

2,656

 

MOLEX INC CL A

 

COMMON STOCK

 

 

 

478

 

MOTOROLA INC COM

 

COMMON STOCK

 

 

 

2,134

 

NEWS CORPORATION CL A

 

COMMON STOCK

 

 

 

2,426

 

NOKIA CORP SPON ADR SER A COM

 

COMMON STOCK

 

 

 

360

 

NOVARTIS AG SPON ADR

 

COMMON STOCK

 

 

 

2,014

 

OCCIDENTAL PETE CORP COM

 

COMMON STOCK

 

 

 

2,294

 

PANASONIC CORP ADR

 

COMMON STOCK

 

 

 

1,053

 

PFIZER INC

 

COMMON STOCK

 

 

 

1,866

 

PITNEY BOWES INC COM

 

COMMON STOCK

 

 

 

569

 

ROYAL DUTCH SHELL PLC

 

COMMON STOCK

 

 

 

721

 

SANOFI-AVENTIS ADR

 

COMMON STOCK

 

 

 

1,571

 

SCHLUMBERGER LTD COM

 

COMMON STOCK

 

 

 

1,627

 

SLM CORP

 

COMMON STOCK

 

 

 

515

 

SONY CORP AMERN SH NEW ADR

 

COMMON STOCK

 

 

 

1,319

 

SPRINT NEXTEL CORP COM SER 1

 

COMMON STOCK

 

 

 

996

 

STATE STREET CORP

 

COMMON STOCK

 

 

 

148

 

SUNTRUST BKS INC

 

COMMON STOCK

 

 

 

558

 

SYMANTEC CORP COM

 

COMMON STOCK

 

 

 

572

 

SYNOPSYS INC COM

 

COMMON STOCK

 

 

 

446

 

THERMO FISHER SCIENTIFIC

 

COMMON STOCK

 

 

 

100

 

TIME WARNER CABLE INC COM

 

COMMON STOCK

 

 

 

1,134

 

TIME WARNER INC NEW COM NEW

 

COMMON STOCK

 

 

 

2,088

 

TRAVELERS COS INC COM

 

COMMON STOCK

 

 

 

997

 

TYCO ELECTRONICS LTD

 

COMMON STOCK

 

 

 

675

 

TYCO INTERNATIONAL LTD SHS

 

COMMON STOCK

 

 

 

771

 

UNITEDHEALTH GROUP INC COM

 

COMMON STOCK

 

 

 

1,494

 

US BANCORP DEL COM NEW

 

COMMON STOCK

 

 

 

394

 

VODAFONE GROUP PLC NEW

 

COMMON STOCK

 

 

 

693

 

VULCAN MATLS CO COM

 

COMMON STOCK

 

 

 

384

 

WAL MART STORES INC COM

 

COMMON STOCK

 

 

 

914

 

WALGREEN CO

 

COMMON STOCK

 

 

 

918

 

WELLPOINT INC

 

COMMON STOCK

 

 

 

1,766

 

WELLS FARGO & CO NEW COM

 

COMMON STOCK

 

 

 

2,729

 

XEROX CORP COM

 

COMMON STOCK

 

 

 

1,269

 

 

 

DODGE & COX VALUE EQUITY FUND

 

 

$

 89,280

 

 

 

 

 

 

 

 

 

AARON’S INC

 

COMMON STOCK

 

 

 

$

 255

 

ACI WORLDWIDE INC COM

 

COMMON STOCK

 

 

 

81

 

ADVANCED AUTO PTS INC

 

COMMON STOCK

 

 

 

559

 

ADVENT SOFTWARE INC

 

COMMON STOCK

 

 

 

191

 

AEROPOSTALE INC

 

COMMON STOCK

 

 

 

242

 

AGL RES INC

 

COMMON STOCK

 

 

 

303

 

ALEXANDER & BALDWIN INC

 

COMMON STOCK

 

 

 

264

 

ALEXANDRIA REAL ESTATE

 

COMMON STOCK

 

 

 

418

 

AMERICAN FINL GROUP INC OHIO

 

COMMON STOCK

 

 

 

576

 

AMERICAN MED SYS HLDGS INC COM

 

COMMON STOCK

 

 

 

77

 

AMERICREDIT CORP COM

 

COMMON STOCK

 

 

 

625

 

ANIXTER INTL INC COM

 

COMMON STOCK

 

 

 

99

 

ARRIS GROUP INC COM

 

COMMON STOCK

 

 

 

448

 

ASHLAND INC NEW

 

COMMON STOCK

 

 

 

166

 

ATMOS ENERGY CORP

 

COMMON STOCK

 

 

 

59

 

AVNET INC COM

 

COMMON STOCK

 

 

 

480

 

BANCORPSOUTH INC

 

COMMON STOCK

 

 

 

192

 

BANK OF HAWAII CORP

 

COMMON STOCK

 

 

 

480

 

BARNES & NOBLE INC COM

 

COMMON STOCK

 

 

 

296

 

BARRETT BILL CORP

 

COMMON STOCK

 

 

 

96

 

BERKLEY W R CORP COM

 

COMMON STOCK

 

 

 

286

 

BRINKER INTL INC COM

 

COMMON STOCK

 

 

 

203

 

BRINKS CO

 

COMMON STOCK

 

 

 

514

 

BROADRIDGE FINL SOLUTIONS INC

 

COMMON STOCK

 

 

 

810

 

BROWN & BROWN INC COM

 

COMMON STOCK

 

 

 

275

 

BRUKER CORPORATION

 

COMMON STOCK

 

 

 

113

 

BUCYRUS INTERNATIONAL INC

 

COMMON STOCK

 

 

 

671

 

CABOT CORP COM

 

COMMON STOCK

 

 

 

184

 

CACI INTL INC CL A

 

COMMON STOCK

 

 

 

327

 

CARLISLE COS INC COM

 

COMMON STOCK

 

 

 

695

 

CARTER HLDGS INC

 

COMMON STOCK

 

 

 

53

 

CHARLES RIV LABORATORIES INTL

 

COMMON STOCK

 

 

 

155

 

CHEESECAKE FACTORY (THE)

 

COMMON STOCK

 

 

 

820

 

CHICOS FAS INC COM

 

COMMON STOCK

 

 

 

107

 

COMMUNITY HEALTH SYS INC NEW

 

COMMON STOCK

 

 

 

363

 

CON-WAY INC

 

COMMON STOCK

 

 

 

73

 

COPART INC

 

COMMON STOCK

 

 

 

158

 

CORINTHIAN COLLEGES INC COM

 

COMMON STOCK

 

 

 

78

 

COVENTRY HEALTH CARE INC COM

 

COMMON STOCK

 

 

 

292

 

CREE INC COM

 

COMMON STOCK

 

 

 

806

 

CULLEN FROST BANKERS INC COM

 

COMMON STOCK

 

 

 

60

 

CYPRESS SEMICONDUCTOR CORP

 

COMMON STOCK

 

 

 

418

 

DIEBOLD INC

 

COMMON STOCK

 

 

 

242

 

DIGITAL RLTY TR INC

 

COMMON STOCK

 

 

 

60

 

DOLLAR TREE INC COM

 

COMMON STOCK

 

 

 

681

 

DONALDSON INC

 

COMMON STOCK

 

 

 

132

 

DPL INC COM

 

COMMON STOCK

 

 

 

580

 

DREYFUS GOVT CASH MGMT FUND

 

MUTUAL FUND

 

 

 

565

 

DUKE REALTY CORPORATION

 

COMMON STOCK

 

 

 

275

 

DYCOM INDS INC

 

COMMON STOCK

 

 

 

214

 

EMCOR GROUP INC COM

 

COMMON STOCK

 

 

 

172

 

ENCORE ACQUISITION CO COM

 

COMMON STOCK

 

 

 

451

 

ENDO PHARMACEUTICALS HLDGS INC

 

COMMON STOCK

 

 

 

509

 

ENERGEN CORP

 

COMMON STOCK

 

 

 

852

 

ENERGIZER HLDGS INC COM

 

COMMON STOCK

 

 

 

55

 

EV3 INC COM

 

COMMON STOCK

 

 

 

88

 

EVEREST RE GROUP INC COM

 

COMMON STOCK

 

 

 

608

 

F5 NETWORK INC COM

 

COMMON STOCK

 

 

 

450

 

FACTSET RESH SYS INC

 

COMMON STOCK

 

 

 

487

 

FAIR ISAAC INC COM

 

COMMON STOCK

 

 

 

546

 

FAIRCHILD SEMICONDUCTOR INTL

 

COMMON STOCK

 

 

 

96

 

FLOWSERVE CORP COM

 

COMMON STOCK

 

 

 

57

 

FOOT LOCKER INC COM

 

COMMON STOCK

 

 

 

480

 

FOSSIL INC COM

 

COMMON STOCK

 

 

 

292

 

FRONTIER OIL CORP COM

 

COMMON STOCK

 

 

 

124

 

GARTNER INC COM

 

COMMON STOCK

 

 

 

444

 

GATX CORP COM

 

COMMON STOCK

 

 

 

58

 

GENTEX CORP COM

 

COMMON STOCK

 

 

 

311

 

GRACE WR & CO DEL NEW COM

 

COMMON STOCK

 

 

 

74

 

GRANITE CONSTR INC COM

 

COMMON STOCK

 

 

 

229

 

HARRIS CORP DEL COM

 

COMMON STOCK

 

 

 

147

 

HARSCO CORP

 

COMMON STOCK

 

 

 

219

 

HARTE-HANKS INC COM

 

COMMON STOCK

 

 

 

104

 

HCC INS HLDGS INC COM

 

COMMON STOCK

 

 

 

548

 

HELIX ENERGY SOLUTIONS GROUP

 

COMMON STOCK

 

 

 

106

 

HEWITT ASSOCS INC

 

COMMON STOCK

 

 

 

114

 

HNI CORP

 

COMMON STOCK

 

 

 

88

 

HOLOGIC INC COM

 

COMMON STOCK

 

 

 

128

 

HORMEL FOODS CORP COM

 

COMMON STOCK

 

 

 

365

 

HOSPITALITY PPTYS TR COM SHS

 

COMMON STOCK

 

 

 

593

 

HUBBELL INC CL B

 

COMMON STOCK

 

 

 

653

 

HUNTSMAN CORP

 

COMMON STOCK

 

 

 

454

 

IDACORP INC COM

 

COMMON STOCK

 

 

 

141

 

IMS HEALTH INC COM

 

COMMON STOCK

 

 

 

42

 

 

S - 4



 

Attachment A

(In thousands)

 

 

 

 

 

 

 

Current

 

Identity of Issuer

 

Description

 

Cost

 

Value

 

INTERDIGITAL INC PA COM

 

COMMON STOCK

 

 

 

74

 

INTERNATIONAL BANCSHARES CORP

 

COMMON STOCK

 

 

 

382

 

INTERNATIONAL SPEEDWAY CORP CL

 

COMMON STOCK

 

 

 

185

 

INTERSIL CORP CL A

 

COMMON STOCK

 

 

 

120

 

ITT EDL SVCS INC COM

 

COMMON STOCK

 

 

 

614

 

JACOBS ENGR GROUP INC COM

 

COMMON STOCK

 

 

 

64

 

JOY GLOBAL INC

 

COMMON STOCK

 

 

 

784

 

KINETIC CONCEPTS INC

 

COMMON STOCK

 

 

 

471

 

KIRBY CORP COM

 

COMMON STOCK

 

 

 

125

 

KNIGHT CAP GROUP INC

 

COMMON STOCK

 

 

 

163

 

LANCASTER COLONY CORP COM

 

COMMON STOCK

 

 

 

611

 

LANDSTAR SYS INC COM

 

COMMON STOCK

 

 

 

454

 

LIBERTY MEDIA HLDG CORP CAP

 

COMMON STOCK

 

 

 

74

 

LIBERTY PPTY TR SHS BEN INT

 

COMMON STOCK

 

 

 

237

 

LIFE TIME FITNESS INC

 

COMMON STOCK

 

 

 

70

 

LIFEPOINT HOSPS INC COM

 

COMMON STOCK

 

 

 

81

 

LKQ CORP

 

COMMON STOCK

 

 

 

61

 

M D C HLDGS INC

 

COMMON STOCK

 

 

 

143

 

MACERICH CO COM

 

COMMON STOCK

 

 

 

480

 

MACK CALI RLTY CORP COM

 

COMMON STOCK

 

 

 

577

 

MANPOWER INC WIS

 

COMMON STOCK

 

 

 

65

 

MANTECH INTERNATIONAL CORP

 

COMMON STOCK

 

 

 

135

 

MARINER ENERGY INC COM

 

COMMON STOCK

 

 

 

116

 

MARVEL ENTMT INC

 

COMMON STOCK

 

 

 

178

 

MDU RESOURCES GROUP INC

 

COMMON STOCK

 

 

 

354

 

MFA FINANCIAL INC

 

COMMON STOCK

 

 

 

234

 

MICROS SYS INC COM

 

COMMON STOCK

 

 

 

74

 

MICROSEMI CORP

 

COMMON STOCK

 

 

 

107

 

MILLIPORE CORP COM

 

COMMON STOCK

 

 

 

289

 

MINERALS TECHNOLOGIES INC COM

 

COMMON STOCK

 

 

 

501

 

NEUSTAR INC CL A

 

COMMON STOCK

 

 

 

69

 

NEW YORK CMNTY BANCORP INC

 

COMMON STOCK

 

 

 

251

 

NEWALLIANCE BANCSHARES INC

 

COMMON STOCK

 

 

 

312

 

NEWFIELD EXPL CO COM

 

COMMON STOCK

 

 

 

270

 

NSTAR COM

 

COMMON STOCK

 

 

 

210

 

NV ENERGY INC COM

 

COMMON STOCK

 

 

 

264

 

OCEANEERING INTL INC COM

 

COMMON STOCK

 

 

 

293

 

OMNICARE INC COM

 

COMMON STOCK

 

 

 

537

 

OSHKOSH CORP COM

 

COMMON STOCK

 

 

 

630

 

OSI PHARMACEUTICALS INC COM

 

COMMON STOCK

 

 

 

84

 

PACTIV CORP COM

 

COMMON STOCK

 

 

 

280

 

PATTERSON UTI ENERGY INC COM

 

COMMON STOCK

 

 

 

138

 

PENTAIR INC COM

 

COMMON STOCK

 

 

 

68

 

PEPSIAMERICAS INC COM

 

COMMON STOCK

 

 

 

108

 

PETSMART INC

 

COMMON STOCK

 

 

 

486

 

PLAINS EXPLORATION & PRODTN

 

COMMON STOCK

 

 

 

434

 

PLANTRONICS INC

 

COMMON STOCK

 

 

 

86

 

POLYCOM INC

 

COMMON STOCK

 

 

 

137

 

POTLATCH CORP NEW COM

 

COMMON STOCK

 

 

 

236

 

PRIDE INTL INC DEL COM

 

COMMON STOCK

 

 

 

160

 

PULTE HOMES INC COM

 

COMMON STOCK

 

 

 

170

 

QUEST SOFTWARE INC COM

 

COMMON STOCK

 

 

 

109

 

RAYMOND JAMES FINL INC COM

 

COMMON STOCK

 

 

 

521

 

RAYONIER INC COM

 

COMMON STOCK

 

 

 

135

 

REGAL ENTMT GROUP CL A

 

COMMON STOCK

 

 

 

130

 

REGENCY CTRS CORP COM

 

COMMON STOCK

 

 

 

98

 

REGIS CORP MINN

 

COMMON STOCK

 

 

 

223

 

REINSURANCE GROUP AMER INC COM

 

COMMON STOCK

 

 

 

95

 

RELIANCE STL & ALUM CO

 

COMMON STOCK

 

 

 

730

 

RENT A CTR INC NEW COM

 

COMMON STOCK

 

 

 

64

 

RESMED INC

 

COMMON STOCK

 

 

 

685

 

ROPER INDS INC NEW COM

 

COMMON STOCK

 

 

 

136

 

ROSS STORES INC COM

 

COMMON STOCK

 

 

 

833

 

SCHEIN HENRY INC COM

 

COMMON STOCK

 

 

 

658

 

SCHOLASTIC CORP COM

 

COMMON STOCK

 

 

 

322

 

SEACOR HOLDINGS INC COM

 

COMMON STOCK

 

 

 

214

 

SEI INVESTMENT CO COM

 

COMMON STOCK

 

 

 

604

 

SHAW GROUP INC COM

 

COMMON STOCK

 

 

 

244

 

SKYWORKS SOLUTIONS INC

 

COMMON STOCK

 

 

 

216

 

SMITHFIELD FOODS INC COM

 

COMMON STOCK

 

 

 

351

 

SOUTHERN UN CO NEW

 

COMMON STOCK

 

 

 

481

 

SPX CORP

 

COMMON STOCK

 

 

 

498

 

STANCORP FINL GROUP INC COM

 

COMMON STOCK

 

 

 

688

 

STEEL DYNAMICS INC COM

 

COMMON STOCK

 

 

 

74

 

STERIS CORP COM

 

COMMON STOCK

 

 

 

338

 

SYBASE INC COM

 

COMMON STOCK

 

 

 

605

 

SYNIVERSE HLDGS INC

 

COMMON STOCK

 

 

 

70

 

SYNOPSYS INC COM

 

COMMON STOCK

 

 

 

766

 

TECH DATA CORP COM

 

COMMON STOCK

 

 

 

1,036

 

TECHNE CORP COM

 

COMMON STOCK

 

 

 

699

 

TELEFLEX INC COM

 

COMMON STOCK

 

 

 

356

 

TELEPHONE & DATA SYS INC COM

 

COMMON STOCK

 

 

 

600

 

TEMPLE INLAND INC COM

 

COMMON STOCK

 

 

 

836

 

TERRA INDS INC

 

COMMON STOCK

 

 

 

196

 

TESSERA TECHNOLOGIES INC

 

COMMON STOCK

 

 

 

107

 

TETRA TECH INC NEW

 

COMMON STOCK

 

 

 

109

 

THOR INDS INC COM

 

COMMON STOCK

 

 

 

69

 

TIBCO SOFTWARE INC COM

 

COMMON STOCK

 

 

 

81

 

TIDEWATER INC COM

 

COMMON STOCK

 

 

 

412

 

TIMKEN CO

 

COMMON STOCK

 

 

 

398

 

TRUSTMARK CORP

 

COMMON STOCK

 

 

 

196

 

UGI CORP NEW COM

 

COMMON STOCK

 

 

 

464

 

UMB FINL CORP

 

COMMON STOCK

 

 

 

71

 

UNITED RENTALS INC COM

 

COMMON STOCK

 

 

 

67

 

UNITED STATES CELLULAR CORP

 

COMMON STOCK

 

 

 

182

 

UNIVERSAL CORP VA

 

COMMON STOCK

 

 

 

438

 

UNIVERSAL HEALTH SVCS INC CL B

 

COMMON STOCK

 

 

 

153

 

URS CORP NEW

 

COMMON STOCK

 

 

 

605

 

VALEANT PHARMACEUTICALS INTL

 

COMMON STOCK

 

 

 

540

 

VALMONT INDS INC COM

 

COMMON STOCK

 

 

 

141

 

VALSPAR CORP

 

COMMON STOCK

 

 

 

383

 

VERTEX PHARMACEUTICALS INC COM

 

COMMON STOCK

 

 

 

111

 

VISHAY INTERTECHNOLOGY INC

 

COMMON STOCK

 

 

 

74

 

WARNACO GROUP INC

 

COMMON STOCK

 

 

 

523

 

WEINGARTEN RLTY INVS SH BEN

 

COMMON STOCK

 

 

 

317

 

WGL HLDGS INC COM

 

COMMON STOCK

 

 

 

295

 

WILLIAMS SONOMA INC COM

 

COMMON STOCK

 

 

 

66

 

WORLD FUEL SVC CORP

 

COMMON STOCK

 

 

 

488

 

WORTHINGTON INDS INC COM

 

COMMON STOCK

 

 

 

311

 

WYNDHAM WORLDWIDE CORP COM

 

COMMON STOCK

 

 

 

139

 

 

 

MELLON CAPITAL MID CAP STOCK FUND

 

$

 59,599

 

 

S - 5



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

3M CO MTN B/E TR 00005

 

4.375% 08/15/2013 DD 08/21/08

 

CORPORATE DEBT INSTRUMENTS

 

$

1,163

 

90DAY EURODOLLAR FUTURE (CME)

 

EXP JUN 10

 

OTHER INVESTMENTS

 

(93

)

90DAY EURODOLLAR FUTURE (CME)

 

EXP MAR 10

 

OTHER INVESTMENTS

 

1,006

 

ABBEY NATL TREASURY SERV 144A

 

3.875% 11/10/2014 DD 11/10/09

 

CORPORATE DEBT INSTRUMENTS

 

989

 

ABBOTT LABS

 

5.600% 05/15/2011 DD 05/12/06

 

CORPORATE DEBT INSTRUMENTS

 

318

 

ABU DHABI NATL ENERGY MTN 144A

 

5.620% 10/25/2012 DD 10/25/07

 

CORPORATE DEBT INSTRUMENTS

 

1,528

 

ACESS GROUP DEL 08-1 CL A

 

VAR RT 10/27/2025 DD 08/05/08

 

CORPORATE DEBT INSTRUMENTS

 

1,262

 

ACHMEA HYPOTHEEKBANK NV 144A

 

3.200% 11/03/2014 DD 11/03/09

 

CORPORATE DEBT INSTRUMENTS

 

1,697

 

ACHMEA HYPOTHEEKBANK NV 144A

 

3.200% 11/03/2014 DD 11/03/09

 

CORPORATE DEBT INSTRUMENTS

 

1,986

 

ADJUSTABLE RATE 04-5 CL 2A1

 

VAR RT 04/25/2035 DD 12/01/04

 

CORPORATE DEBT INSTRUMENTS

 

26

 

AEGON N V SR NT

 

4.750% 06/01/2013 DD 05/20/03

 

CORPORATE DEBT INSTRUMENTS

 

503

 

AEP TEX CENT TRANS 06-A CL A4

 

5.170% 01/01/2018 DD 10/11/06

 

CORPORATE DEBT INSTRUMENTS

 

1,339

 

ALLYA 2009-A A2

 

1.320% 06/15/2011 DD 09/11/09

 

CORPORATE DEBT INSTRUMENTS

 

1,989

 

ALTRIA GROUP INC NT

 

9.700% 11/10/2018 DD 11/10/08

 

CORPORATE DEBT INSTRUMENTS

 

773

 

AMERICAN EXPRESS 08-2 CL A

 

4.020% 01/18/2011 DD 08/07/08

 

CORPORATE DEBT INSTRUMENTS

 

1,878

 

AMERICAN EXPRESS BK FSB MEDIUM

 

5.500% 04/16/2013 DD 04/16/08

 

CORPORATE DEBT INSTRUMENTS

 

3,731

 

AMERICAN EXPRESS CO NT

 

7.000% 03/19/2018 DD 03/19/08

 

CORPORATE DEBT INSTRUMENTS

 

881

 

AMERICAN EXPRESS CR CORP MTN

 

5.875% 05/02/2013 DD 06/02/08

 

CORPORATE DEBT INSTRUMENTS

 

859

 

AMERICAN EXPRESS TRAVEL 144A

 

5.250% 11/21/2011 DD 11/21/06

 

CORPORATE DEBT INSTRUMENTS

 

944

 

AMERICAN HOME MTG 2005-1 CL 6A

 

VAR RT 06/25/2045 DD 03/01/05

 

CORPORATE DEBT INSTRUMENTS

 

246

 

AMERICAN INTERNATIONAL GROUP I

 

8.250% 08/15/2018 DD 02/15/09

 

CORPORATE DEBT INSTRUMENTS

 

3,286

 

AMERICAN INTL GROUP INC MTN

 

5.450% 05/18/2017 DD 05/18/07

 

CORPORATE DEBT INSTRUMENTS

 

162

 

AMERICAN INTL GROUP INC NT

 

5.050% 10/01/2015 DD 04/01/06

 

CORPORATE DEBT INSTRUMENTS

 

501

 

AMERICAN INTL GRP MTN #TR00028

 

VAR RT 10/18/2011 DD 10/18/06

 

CORPORATE DEBT INSTRUMENTS

 

1,447

 

ANGLO AMERN CAP PLC SR NT 144A

 

9.375% 04/08/2014 DD 04/08/09

 

CORPORATE DEBT INSTRUMENTS

 

288

 

ANHEUSER-BUSCH INBEV WOR

 

4.125% 01/15/2015 DD 10/16/09

 

CORPORATE DEBT INSTRUMENTS

 

1,371

 

ANHEUSER-BUSCH INBEV WOR

 

4.125% 01/15/2015 DD 10/16/09

 

CORPORATE DEBT INSTRUMENTS

 

1,701

 

ANZ CAP TR I TR SECS 144A

 

4.484% 01/29/2049 DD 11/26/03

 

CORPORATE DEBT INSTRUMENTS

 

1,250

 

ANZ NATL INTL LTD MTN 144A

 

6.200% 07/19/2013 DD 07/16/08

 

CORPORATE DEBT INSTRUMENTS

 

684

 

AOL TIME WARNER INC NT

 

6.750% 04/15/2011 DD 04/19/01

 

CORPORATE DEBT INSTRUMENTS

 

223

 

AOL TIME WARNER INC NT

 

6.875% 05/01/2012 DD 04/08/02

 

CORPORATE DEBT INSTRUMENTS

 

493

 

APACHE CORP NT

 

6.000% 09/15/2013 DD 10/01/08

 

CORPORATE DEBT INSTRUMENTS

 

1,273

 

APPALACHIAN PWR CO SR NT SER O

 

5.650% 08/15/2012 DD 08/17/07

 

CORPORATE DEBT INSTRUMENTS

 

856

 

ARCELORMITTAL SA LUXEMBOURG NT

 

5.375% 06/01/2013 DD 05/27/08

 

CORPORATE DEBT INSTRUMENTS

 

1,477

 

ARIZONA PUB SVC CO NT

 

8.750% 03/01/2019 DD 02/26/09

 

CORPORATE DEBT INSTRUMENTS

 

728

 

AT & T INC GLOBAL NT

 

4.950% 01/15/2013 DD 12/06/07

 

CORPORATE DEBT INSTRUMENTS

 

267

 

AT & T INC GLOBAL NT

 

4.950% 01/15/2013 DD 12/06/07

 

CORPORATE DEBT INSTRUMENTS

 

1,067

 

AT&T BROADBAND CORP NT

 

8.375% 03/15/2013 DD 11/18/02

 

CORPORATE DEBT INSTRUMENTS

 

859

 

AT&T BROADBAND CORP NT

 

8.375% 03/15/2013 DD 11/18/02

 

CORPORATE DEBT INSTRUMENTS

 

865

 

AT&T CORP SR NT

 

STEP 11/15/2011 DD 11/21/01

 

CORPORATE DEBT INSTRUMENTS

 

661

 

AT&T INC GLOBAL NT

 

5.600% 05/15/2018 DD 05/13/08

 

CORPORATE DEBT INSTRUMENTS

 

157

 

B A T INTL FIN PLC NT 144A

 

9.500% 11/15/2018 DD 11/21/08

 

CORPORATE DEBT INSTRUMENTS

 

381

 

BANC AMER COML MTG 02 PB2 A4

 

6.186% 06/11/2035 DD 05/01/02

 

CORPORATE DEBT INSTRUMENTS

 

1,215

 

BANC AMER COML MTG 06 4 A-4

 

5.634% 07/10/2046 DD 08/01/06

 

CORPORATE DEBT INSTRUMENTS

 

1,405

 

BANC AMER COML MTG INC 05-6 A4

 

VAR RT 09/10/2047 DD 12/01/05

 

CORPORATE DEBT INSTRUMENTS

 

2,455

 

BANK AMER CORP SR NT

 

5.750% 12/01/2017 DD 12/04/07

 

CORPORATE DEBT INSTRUMENTS

 

384

 

BANK AMER CORP SR NT

 

5.375% 09/11/2012 DD 09/11/07

 

CORPORATE DEBT INSTRUMENTS

 

1,804

 

BANK AMER FDG CORP MED TERM

 

5.650% 05/01/2018 DD 05/02/08

 

CORPORATE DEBT INSTRUMENTS

 

5,586

 

BANK AMER MTG SECS 02 G CTF1A3

 

VAR RT 07/20/2032 DD 06/01/02

 

CORPORATE DEBT INSTRUMENTS

 

17

 

BANK NEW YORK INC MEDIUM TERM

 

4.500% 04/01/2013 DD 03/27/08

 

CORPORATE DEBT INSTRUMENTS

 

1,130

 

BANK OF AMERICA CORP

 

7.625% 06/01/2019 DD 06/02/09

 

CORPORATE DEBT INSTRUMENTS

 

405

 

BANK OF AMERICA CORP

 

7.375% 05/15/2014 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

1,118

 

BARCLAYS BANK PLC

 

5.200% 07/10/2014 DD 07/10/09

 

CORPORATE DEBT INSTRUMENTS

 

1,230

 

BB&T CORPORATION

 

3.850% 07/27/2012 DD 07/27/09

 

CORPORATE DEBT INSTRUMENTS

 

1,242

 

BEAR STEARNS ALT 05-4 II 3A2

 

5.446% 05/25/2035 DD 04/01/05

 

CORPORATE DEBT INSTRUMENTS

 

285

 

BEAR STEARNS ARM 04-1 CL 21A1

 

VAR RT 04/25/2034 DD 02/01/04

 

CORPORATE DEBT INSTRUMENTS

 

48

 

BEAR STEARNS ARM 04-5 IIA

 

VAR RT 07/25/2034 DD 06/01/04

 

CORPORATE DEBT INSTRUMENTS

 

635

 

BEAR STEARNS ARM TR 02-11 IA2

 

VAR RT 01/25/2033 DD 12/01/02

 

CORPORATE DEBT INSTRUMENTS

 

12

 

BEAR STEARNS ARM TR 2005-5 A2

 

VAR RT 08/25/2035 DD 07/01/05

 

CORPORATE DEBT INSTRUMENTS

 

1,074

 

BEAR STEARNS COML 04-PWR6

 

4.825% 11/11/2041 DD 12/01/04

 

CORPORATE DEBT INSTRUMENTS

 

439

 

BEAR STEARNS COS INC GLOBAL NT

 

5.500% 08/15/2011 DD 08/17/06

 

CORPORATE DEBT INSTRUMENTS

 

346

 

BEAR STEARNS COS INC MTN

 

6.950% 08/10/2012 DD 08/10/07

 

CORPORATE DEBT INSTRUMENTS

 

939

 

BEAR STEARNS COS INC MTN

 

6.950% 08/10/2012 DD 08/10/07

 

CORPORATE DEBT INSTRUMENTS

 

1,117

 

BEAR STEARNS COS INC SR GLOBAL

 

7.250% 02/01/2018 DD 02/01/08

 

CORPORATE DEBT INSTRUMENTS

 

316

 

BEAR STEARNS COS INC SR GLOBAL

 

7.250% 02/01/2018 DD 02/01/08

 

CORPORATE DEBT INSTRUMENTS

 

1,119

 

BEAR STEARNS COS INC SR NT

 

6.400% 10/02/2017 DD 10/02/07

 

CORPORATE DEBT INSTRUMENTS

 

818

 

BEAR STEARNS COS INC SR NT

 

5.350% 02/01/2012 DD 01/25/07

 

CORPORATE DEBT INSTRUMENTS

 

956

 

BERKSHIRE HATHAWAY FIN CORP

 

4.600% 05/15/2013 DD 11/15/08

 

CORPORATE DEBT INSTRUMENTS

 

1,584

 

BNP PARIBAS

 

2.125% 12/21/2012 DD 12/21/09

 

CORPORATE DEBT INSTRUMENTS

 

796

 

BNP PARIBAS SUB NT TIER 1 144A

 

VAR RT 06/29/2049 DD 06/25/07

 

CORPORATE DEBT INSTRUMENTS

 

1,104

 

BOARDWALK PIPELINES INC LP

 

5.875% 11/15/2016 DD 11/21/06

 

CORPORATE DEBT INSTRUMENTS

 

460

 

BP CAP MKTS P L C GTD NT

 

3.125% 03/10/2012 DD 03/10/09

 

CORPORATE DEBT INSTRUMENTS

 

1,143

 

CALIFORNIA ST

 

5.000% 06/01/2037 DD 06/01/07

 

OTHER INVESTMENTS

 

90

 

CALIFORNIA ST

 

7.550% 04/01/2039 DD 04/28/09

 

OTHER INVESTMENTS

 

315

 

CALIFORNIA ST

 

7.500% 04/01/2034 DD 04/28/09

 

OTHER INVESTMENTS

 

388

 

CALIFORNIA ST

 

7.550% 04/01/2039 DD 04/28/09

 

OTHER INVESTMENTS

 

872

 

CALIFORNIA ST

 

5.000% 11/01/2032 DD 11/01/07

 

OTHER INVESTMENTS

 

1,287

 

CALIFORNIA ST BUILD AMERICA

 

7.300% 10/01/2039 DD 10/15/09

 

OTHER INVESTMENTS

 

546

 

CANADIAN NAT RES LTD NT

 

5.700% 05/15/2017 DD 03/19/07

 

CORPORATE DEBT INSTRUMENTS

 

192

 

CANADIAN NAT RES LTD NT

 

6.000% 08/15/2016 DD 08/17/06

 

CORPORATE DEBT INSTRUMENTS

 

434

 

CANADIAN NAT RES LTD NT

 

5.150% 02/01/2013 DD 01/17/08

 

CORPORATE DEBT INSTRUMENTS

 

1,277

 

CANADIAN NATL RY CO NT

 

4.950% 01/15/2014 DD 05/01/08

 

CORPORATE DEBT INSTRUMENTS

 

1,068

 

CAPITAL ONE FINL CORP SR NT

 

5.700% 09/15/2011 DD 09/12/06

 

CORPORATE DEBT INSTRUMENTS

 

1,576

 

CARDINAL HEALTH INC NT

 

5.500% 06/15/2013 DD 06/02/08

 

CORPORATE DEBT INSTRUMENTS

 

717

 

CARRINGTON MTG 06-NC5 CL A1

 

VAR RT 01/25/2037 DD 12/19/06

 

CORPORATE DEBT INSTRUMENTS

 

440

 

CASH HELD AT MERRILL LYNCH

 

 

 

INTEREST-BEARING CASH

 

88

 

CD 2007-CD4 A4

 

5.322% 12/11/2049 DD 03/01/07

 

CORPORATE DEBT INSTRUMENTS

 

75

 

CDP FINANCIAL 144A

 

4.400% 11/25/2019 DD 11/25/09

 

CORPORATE DEBT INSTRUMENTS

 

1,806

 

CELLCO PART/VERI WIRELSS

 

8.500% 11/15/2018 DD 05/15/09

 

CORPORATE DEBT INSTRUMENTS

 

558

 

CELLCO PART/VERI WIRELSS

 

8.500% 11/15/2018 DD 05/15/09

 

CORPORATE DEBT INSTRUMENTS

 

1,054

 

CENOVUS ENERGY INC 144A

 

6.750% 11/15/2039 DD 09/18/09

 

CORPORATE DEBT INSTRUMENTS

 

251

 

CENOVUS ENERGY INC 144A

 

5.700% 10/15/2019 DD 09/18/09

 

CORPORATE DEBT INSTRUMENTS

 

548

 

CENTERPOINT ENERGY HOUSTON LLC

 

5.700% 03/15/2013 DD 09/15/03

 

CORPORATE DEBT INSTRUMENTS

 

1,063

 

CHAIT 2009-A7 A7

 

VAR RT 09/17/2012 DD 09/23/09

 

CORPORATE DEBT INSTRUMENTS

 

2,673

 

CHASE MANHATTAN SUB NT

 

7.875% 06/15/2010 DD 06/09/00

 

CORPORATE DEBT INSTRUMENTS

 

567

 

CHASE MTG FIN SER 07-A1 CL 2A1

 

VAR RT 02/25/2037 DD 02/01/07

 

CORPORATE DEBT INSTRUMENTS

 

976

 

CHASE MTG FIN SER 07-A1 CL 7A1

 

VAR RT 02/25/2037 DD 02/01/07

 

CORPORATE DEBT INSTRUMENTS

 

491

 

CHICAGO ILL O HARE INTL ARPT R

 

5.000% 01/01/2033 DD 12/22/05

 

OTHER INVESTMENTS

 

504

 

CHICAGO ILL TRANSIT AUTH TRANS

 

6.899% 12/01/2040 DD 08/06/08

 

OTHER INVESTMENTS

 

1,591

 

CHICAGO ILL TRANSIT AUTH TRANS

 

6.899% 12/01/2040 DD 08/06/08

 

OTHER INVESTMENTS

 

1,591

 

CIT MTG LN 07 1 CL 2-A1 144A

 

VAR RT 10/25/2037 DD 09/28/07

 

CORPORATE DEBT INSTRUMENTS

 

456

 

CIT MTG LN 07 1 CL 2-A2 144A

 

VAR RT 10/25/2037 DD 09/28/07

 

CORPORATE DEBT INSTRUMENTS

 

143

 

CITIBANK NA

 

1.750% 12/28/2012 DD 10/27/09

 

U. S. GOVERNMENT SECURITIES

 

2,161

 

CITIBANK NA

 

1.375% 08/10/2011 DD 08/06/09

 

U. S. GOVERNMENT SECURITIES

 

6,001

 

CITIGROUP FUNDING INC

 

1.875% 11/15/2012 DD 10/06/09

 

U. S. GOVERNMENT SECURITIES

 

1,297

 

CITIGROUP FUNDING INC

 

2.125% 07/12/2012 DD 06/30/09

 

U. S. GOVERNMENT SECURITIES

 

1,310

 

CITIGROUP FUNDING INC

 

1.875% 10/22/2012 DD 09/22/09

 

U. S. GOVERNMENT SECURITIES

 

1,569

 

CITIGROUP FUNDING INC

 

2.250% 12/10/2012 DD 08/06/09

 

U. S. GOVERNMENT SECURITIES

 

1,668

 

CITIGROUP FUNDING INC

 

1.875% 11/15/2012 DD 10/06/09

 

U. S. GOVERNMENT SECURITIES

 

1,860

 

CITIGROUP FUNDING INC

 

1.875% 10/22/2012 DD 09/22/09

 

U. S. GOVERNMENT SECURITIES

 

3,586

 

CITIGROUP FUNDING INC

 

2.250% 12/10/2012 DD 08/06/09

 

U. S. GOVERNMENT SECURITIES

 

4,535

 

CITIGROUP INC

 

1.875% 05/07/2012 DD 05/07/09

 

U. S. GOVERNMENT SECURITIES

 

1,307

 

CITIGROUP INC

 

1.375% 05/05/2011 DD 05/05/09

 

U. S. GOVERNMENT SECURITIES

 

3,044

 

CITIGROUP INC FDIC GTD TGLP GT

 

2.125% 04/30/2012 DD 01/30/09

 

U. S. GOVERNMENT SECURITIES

 

910

 

CITIGROUP INC FDIC GTD TGLP GT

 

2.125% 04/30/2012 DD 01/30/09

 

U. S. GOVERNMENT SECURITIES

 

2,537

 

CITIGROUP INC GLOBAL NT

 

5.850% 07/02/2013 DD 06/28/06

 

CORPORATE DEBT INSTRUMENTS

 

234

 

CITIGROUP INC GLOBAL NT

 

5.300% 10/17/2012 DD 10/17/07

 

CORPORATE DEBT INSTRUMENTS

 

286

 

 

S - 6



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

CITIGROUP INC GLOBAL SR NT

 

6.125% 11/21/2017 DD 11/21/07

 

CORPORATE DEBT INSTRUMENTS

 

1,613

 

CITIGROUP INC SR NT

 

5.500% 08/27/2012 DD 08/27/07

 

CORPORATE DEBT INSTRUMENTS

 

2,091

 

CITIGROUP INC SUB NT

 

5.000% 09/15/2014 DD 09/16/04

 

CORPORATE DEBT INSTRUMENTS

 

819

 

COMCAST CABLE COMMUNS INC NT

 

6.750% 01/30/2011 DD 01/16/01

 

CORPORATE DEBT INSTRUMENTS

 

259

 

COMCAST CORP NEW GTD NT

 

5.900% 03/15/2016 DD 03/02/06

 

CORPORATE DEBT INSTRUMENTS

 

323

 

COMCAST CORP NEW NT

 

5.300% 01/15/2014 DD 05/15/03

 

CORPORATE DEBT INSTRUMENTS

 

1,067

 

COMM 2007-C9 MTG 07-C9 CL A-AB

 

VAR RT 12/10/2049 DD 08/01/07

 

CORPORATE DEBT INSTRUMENTS

 

1,796

 

COMMERCIAL MTG ASSET 99-C2 A-2

 

VAR RT 11/17/2032 DD 10/11/99

 

CORPORATE DEBT INSTRUMENTS

 

198

 

COMMIT TO PUR FHLMC GOLD SFM

 

6.000% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

106

 

COMMIT TO PUR FHLMC GOLD SFM

 

5.000% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

2,256

 

COMMIT TO PUR FHLMC GOLD SFM

 

4.500% 01/01/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

6,983

 

COMMIT TO PUR FNMA SF MTG

 

5.500% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

(26,168

)

COMMIT TO PUR FNMA SF MTG

 

5.500% 02/01/2040 DD 02/01/10

 

U. S. GOVERNMENT SECURITIES

 

(12,519

)

COMMIT TO PUR FNMA SF MTG

 

6.000% 02/01/2040 DD 02/01/10

 

U. S. GOVERNMENT SECURITIES

 

(9,503

)

COMMIT TO PUR FNMA SF MTG

 

5.000% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

(8,209

)

COMMIT TO PUR FNMA SF MTG

 

5.500% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

(6,385

)

COMMIT TO PUR FNMA SF MTG

 

5.000% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

(3,078

)

COMMIT TO PUR FNMA SF MTG

 

6.500% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

428

 

COMMIT TO PUR FNMA SF MTG

 

4.500% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

998

 

COMMIT TO PUR FNMA SF MTG

 

5.000% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

1,026

 

COMMIT TO PUR FNMA SF MTG

 

6.000% 01/01/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

1,906

 

COMMIT TO PUR FNMA SF MTG

 

5.500% 01/01/2025 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

3,173

 

COMMIT TO PUR FNMA SF MTG

 

5.000% 01/01/2025 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

5,016

 

COMMIT TO PUR FNMA SF MTG

 

5.000% 02/01/2025 DD 02/01/10

 

U. S. GOVERNMENT SECURITIES

 

6,464

 

COMMIT TO PUR FNMA SF MTG

 

4.000% 01/01/2025 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

8,046

 

COMMIT TO PUR GNMA II JUMBOS

 

5.500% 01/20/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

839

 

COMMIT TO PUR GNMA SF MTG

 

6.500% 12/15/2039 DD 12/01/09

 

U. S. GOVERNMENT SECURITIES

 

(3,934

)

COMMIT TO PUR GNMA SF MTG

 

5.500% 01/15/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

3,143

 

COMMIT TO PUR GNMA SF MTG

 

6.000% 01/15/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

3,170

 

COMMIT TO PUR GNMA SF MTG

 

6.500% 12/15/2039 DD 12/01/09

 

U. S. GOVERNMENT SECURITIES

 

3,934

 

COMMIT TO PUR GNMA SF MTG

 

6.500% 01/15/2040 DD 01/01/10

 

U. S. GOVERNMENT SECURITIES

 

4,465

 

COMMONWEALTH BANK AUST 144A

 

3.750% 10/15/2014 DD 10/15/09

 

CORPORATE DEBT INSTRUMENTS

 

1,298

 

COMMONWEALTH BK MTN 144A

 

2.400% 01/12/2012 DD 01/15/09

 

CORPORATE DEBT INSTRUMENTS

 

308

 

CONAGRA FOODS INC NT

 

6.750% 09/15/2011 DD 09/10/01

 

CORPORATE DEBT INSTRUMENTS

 

126

 

CONOCOPHILLIPS GTD NT

 

4.400% 05/15/2013 DD 05/08/08

 

CORPORATE DEBT INSTRUMENTS

 

1,530

 

COUNTRYWIDE FINL CORP MEDIUM

 

5.800% 06/07/2012 DD 06/07/07

 

CORPORATE DEBT INSTRUMENTS

 

637

 

COUNTRYWIDE HOME MTN #TR00313

 

4.000% 03/22/2011 DD 03/22/04

 

CORPORATE DEBT INSTRUMENTS

 

383

 

COVIDIEN INTL FIN S A SR NT

 

5.450% 10/15/2012 DD 04/15/08

 

CORPORATE DEBT INSTRUMENTS

 

1,596

 

COX COMMUNICATIONS INC 144A

 

8.375% 03/01/2039 DD 02/20/09

 

CORPORATE DEBT INSTRUMENTS

 

249

 

COX COMMUNICATIONS INC NEW NT

 

5.450% 12/15/2014 DD 12/15/04

 

CORPORATE DEBT INSTRUMENTS

 

482

 

COX COMMUNICATIONS INC NEW NT

 

4.625% 06/01/2013 DD 05/27/03

 

CORPORATE DEBT INSTRUMENTS

 

1,040

 

CREDIT SUISSE 05-C4 CL A-2

 

5.017% 08/15/2038 DD 08/01/05

 

CORPORATE DEBT INSTRUMENTS

 

1,491

 

CREDIT SUISSE FB

 

4.125% 01/15/2010 DD 12/15/04

 

CORPORATE DEBT INSTRUMENTS

 

275

 

CREDIT SUISSE FB 01-CK3 CL A4

 

6.530% 06/15/2034 DD 06/01/01

 

CORPORATE DEBT INSTRUMENTS

 

1,023

 

CREDIT SUISSE FB 02 CKN2 CL A3

 

6.133% 04/15/2037 DD 05/01/02

 

CORPORATE DEBT INSTRUMENTS

 

926

 

CREDIT SUISSE FB 02 CKS4 A2

 

5.183% 11/15/2036 DD 10/01/02

 

CORPORATE DEBT INSTRUMENTS

 

1,059

 

CREDIT SUISSE FB 02 P1 A 144A

 

VAR RT 03/25/2032 DD 03/01/02

 

CORPORATE DEBT INSTRUMENTS

 

84

 

CREDIT SUISSE FB 03 CPN1 A 2

 

4.597% 03/15/2035 DD 03/01/03

 

CORPORATE DEBT INSTRUMENTS

 

603

 

CREDIT SUISSE FIRST BOSTON N Y

 

5.000% 05/15/2013 DD 05/06/08

 

CORPORATE DEBT INSTRUMENTS

 

1,653

 

CREDIT SUISSE FIRST BOSTON N Y

 

5.000% 05/15/2013 DD 05/06/08

 

CORPORATE DEBT INSTRUMENTS

 

2,133

 

CVS CAREMARK CORP SR NT

 

VAR RT 06/01/2010 DD 05/25/07

 

CORPORATE DEBT INSTRUMENTS

 

675

 

CVS CORP SR NT

 

5.750% 08/15/2011 DD 08/15/06

 

CORPORATE DEBT INSTRUMENTS

 

2,130

 

CWABS ASSET BKD 07-1 CL 2A1

 

VAR RT 07/25/2037 DD 02/09/07

 

CORPORATE DEBT INSTRUMENTS

 

690

 

CWMBS INC 2004-HYB6 CL A-2

 

VAR RT 11/20/2034 DD 09/01/04

 

CORPORATE DEBT INSTRUMENTS

 

39

 

DAIMLERCHRYSLER N A #TR00043

 

5.750% 09/08/2011 DD 09/08/06

 

CORPORATE DEBT INSTRUMENTS

 

788

 

DAIMLERCHRYSLER N A HLDG CORP

 

4.875% 06/15/2010 DD 06/09/05

 

CORPORATE DEBT INSTRUMENTS

 

1,016

 

DAIMLERCHRYSLER N A HLDG SR NT

 

6.500% 11/15/2013 DD 11/06/03

 

CORPORATE DEBT INSTRUMENTS

 

27

 

DANSKE BANK A/S

 

2.500% 05/10/2012 DD 06/30/09

 

CORPORATE DEBT INSTRUMENTS

 

1,424

 

DCP MIDSTREAM LLC NT 144A

 

9.750% 03/15/2019 DD 02/24/09

 

CORPORATE DEBT INSTRUMENTS

 

560

 

DEUTSCHE ALT-A 06 OA1 CL A-1

 

VAR RT 02/25/2047 DD 12/29/06

 

CORPORATE DEBT INSTRUMENTS

 

109

 

DEUTSCHE TELEKOM INTL FIN B V

 

5.875% 08/20/2013 DD 08/18/08

 

CORPORATE DEBT INSTRUMENTS

 

1,245

 

DIAGEO CAP PLC GTD NT

 

5.200% 01/30/2013 DD 10/26/07

 

CORPORATE DEBT INSTRUMENTS

 

1,071

 

DOW CHEM CO NT

 

6.000% 10/01/2012 DD 08/29/02

 

CORPORATE DEBT INSTRUMENTS

 

823

 

DOW CHEMICAL CO

 

5.900% 02/15/2015 DD 08/07/09

 

CORPORATE DEBT INSTRUMENTS

 

296

 

DOW CHEMICAL CO

 

5.900% 02/15/2015 DD 08/07/09

 

CORPORATE DEBT INSTRUMENTS

 

2,149

 

DOW CHEMICAL COMPANY

 

7.600% 05/15/2014 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

882

 

DPL INC SR NT

 

6.875% 09/01/2011 DD 08/31/01

 

CORPORATE DEBT INSTRUMENTS

 

2,757

 

DR PEPPER SNAPPLE GROUP

 

2.350% 12/21/2012 DD 12/21/09

 

CORPORATE DEBT INSTRUMENTS

 

561

 

DREYFUS GOVT CASH MGMT FUND

 

VAR RT 12/31/2075 DD 06/03/97

 

REGISTERED INVESTMENT COMPANIES

 

1

 

DREYFUS GOVT CASH MGMT FUND

 

VAR RT 12/31/2075 DD 06/03/97

 

REGISTERED INVESTMENT COMPANIES

 

1,248

 

DREYFUS GOVT CASH MGMT FUND

 

VAR RT 12/31/2075 DD 06/03/97

 

REGISTERED INVESTMENT COMPANIES

 

5,072

 

DREYFUS GOVT CASH MGMT FUND

 

VAR RT 12/31/2075 DD 06/03/97

 

REGISTERED INVESTMENT COMPANIES

 

5,267

 

DREYFUS GOVT CASH MGMT FUND

 

VAR RT 12/31/2075 DD 06/03/97

 

REGISTERED INVESTMENT COMPANIES

 

28,382

 

DUKE ENERGY CAROLINAS LLC 1ST

 

5.250% 01/15/2018 DD 01/10/08

 

CORPORATE DEBT INSTRUMENTS

 

288

 

EB CIS ASSET-BACKED SEC INDEX

 

FUND

 

COMMON/COLLECTIVE TRUST

 

1,835

 

EB CIS CMBS BOND INDEX FUND

 

FUND

 

COMMON/COLLECTIVE TRUST

 

16,278

 

EB CIS INT GOV/CR BOND INDEX

 

FUND

 

COMMON/COLLECTIVE TRUST

 

252,936

 

EB CIS MORTGAGE-BACKED SEC

 

INDEX FUND

 

COMMON/COLLECTIVE TRUST

 

187,072

 

EDP FIN B V AMSTERDAM NT 144A

 

5.375% 11/02/2012 DD 11/02/07

 

CORPORATE DEBT INSTRUMENTS

 

512

 

EKSPORTFINANA A S USD GBL NT

 

5.500% 05/25/2016 DD 05/25/06

 

CORPORATE DEBT INSTRUMENTS

 

889

 

EKSPORTFINANS A S A MEDIUM

 

5.500% 06/26/2017 DD 06/26/07

 

CORPORATE DEBT INSTRUMENTS

 

238

 

EL PASO ENERGY MTN #TR 00004

 

7.800% 08/01/2031 DD 07/30/01

 

CORPORATE DEBT INSTRUMENTS

 

941

 

ENBRIDGE ENERGY PARTNERS LP NT

 

5.875% 12/15/2016 DD 12/21/06

 

CORPORATE DEBT INSTRUMENTS

 

416

 

ENCANA HLDGS FIN CORP NT

 

5.800% 05/01/2014 DD 05/13/04

 

CORPORATE DEBT INSTRUMENTS

 

49

 

ENDURANCE SPECIALTY HLDGS LTD

 

6.150% 10/15/2015 DD 10/17/05

 

CORPORATE DEBT INSTRUMENTS

 

287

 

ENEL FINANCE INTL SA 144A

 

5.125% 10/07/2019 DD 10/07/09

 

CORPORATE DEBT INSTRUMENTS

 

704

 

ENERGY TRANSFER PARTNERS LP

 

5.650% 08/01/2012 DD 02/01/06

 

CORPORATE DEBT INSTRUMENTS

 

266

 

ENERGY TRANSFER PARTNERS LP SR

 

5.950% 02/01/2015 DD 01/18/05

 

CORPORATE DEBT INSTRUMENTS

 

556

 

ENTERGY ARK INC 1ST MTG BD

 

5.400% 08/01/2013 DD 07/17/08

 

CORPORATE DEBT INSTRUMENTS

 

1,185

 

EXPORT IMPORT BK KOREA NT

 

5.500% 10/17/2012 DD 10/17/07

 

OTHER INVESTMENTS

 

1,702

 

FARMER MAC GTD NTS TR 2006 2

 

5.500% 07/15/2011 DD 07/20/06

 

U. S. GOVERNMENT SECURITIES

 

845

 

FARMER MAC GTD P/T AS-1008 1

 

VAR RT 01/25/2012 DD 03/01/97

 

U. S. GOVERNMENT SECURITIES

 

931

 

FEDERAL AGRIC MTG CORP

 

VAR RT 04/25/2011

 

U. S. GOVERNMENT SECURITIES

 

235

 

FEDERAL FARM CR BKS CONS BD

 

4.500% 08/08/2011 DD 09/08/05

 

U. S. GOVERNMENT SECURITIES

 

2,636

 

FEDERAL FARM CR BKS CONS BDS

 

5.050% 11/06/2017 DD 08/06/08

 

U. S. GOVERNMENT SECURITIES

 

532

 

FEDERAL HOME LN BK CHICAGO SUB

 

5.625% 06/13/2016 DD 06/13/06

 

U. S. GOVERNMENT SECURITIES

 

1,195

 

FEDERAL HOME LN BK CONS BD

 

5.500% 08/13/2014 DD 06/22/07

 

U. S. GOVERNMENT SECURITIES

 

1,571

 

FEDERAL HOME LN BK CONS BD

 

5.000% 03/14/2014 DD 02/08/07

 

U. S. GOVERNMENT SECURITIES

 

7,700

 

FEDERAL HOME LN BK CONS BD

 

2.750% 06/18/2010 DD 04/18/08

 

U. S. GOVERNMENT SECURITIES

 

18,208

 

FEDERAL HOME LN BK CONS BD

 

3.625% 05/29/2013 DD 04/18/08

 

U. S. GOVERNMENT SECURITIES

 

18,353

 

FEDERAL HOME LN BKS CONS BD

 

4.875% 12/14/2012 DD 11/03/05

 

U. S. GOVERNMENT SECURITIES

 

1,626

 

FEDERAL HOME LN BKS CONS BD

 

5.250% 06/18/2014 DD 05/27/04

 

U. S. GOVERNMENT SECURITIES

 

2,666

 

FEDERAL HOME LN BKS CONS BD

 

5.310% 12/28/2012 DD 12/28/05

 

U. S. GOVERNMENT SECURITIES

 

4,388

 

FEDERAL HOME LN BKS CONS BD

 

3.375% 06/24/2011 DD 05/27/08

 

U. S. GOVERNMENT SECURITIES

 

7,232

 

FEDERAL HOME LN MTG CORP

 

2.500% 04/23/2014 DD 04/24/09

 

U. S. GOVERNMENT SECURITIES

 

12,992

 

FEDERAL HOME LN MTG CORP REF

 

5.500% 08/23/2017 DD 07/23/07

 

U. S. GOVERNMENT SECURITIES

 

3,326

 

FEDERAL HOME LN MTG CORP REF

 

4.125% 09/27/2013 DD 08/20/08

 

U. S. GOVERNMENT SECURITIES

 

10,656

 

FEDERAL NATL MTG ASSN

 

3.000% 09/16/2014 DD 08/14/09

 

U. S. GOVERNMENT SECURITIES

 

1,914

 

FEDERAL NATL MTG ASSN

 

2.500% 05/15/2014 DD 05/15/09

 

U. S. GOVERNMENT SECURITIES

 

2,770

 

FEDERAL NATL MTG ASSN

 

2.625% 11/20/2014 DD 10/26/09

 

U. S. GOVERNMENT SECURITIES

 

4,465

 

FEDERAL NATL MTG ASSN

 

3.000% 09/16/2014 DD 08/14/09

 

U. S. GOVERNMENT SECURITIES

 

5,267

 

FEDERAL NATL MTG ASSN

 

3.375% 05/19/2011 DD 05/19/08

 

U. S. GOVERNMENT SECURITIES

 

8,075

 

FEDERAL NATL MTG ASSN DEBS

 

4.625% 10/15/2014 DD 09/17/04

 

U. S. GOVERNMENT SECURITIES

 

7,584

 

FEDERAL NATL MTG ASSN DISCOUNT

 

MAT 01/19/2010

 

U. S. GOVERNMENT SECURITIES

 

5,200

 

FEDERAL NATL MTG ASSN MTN

 

2.750% 02/05/2014 DD 02/05/09

 

U. S. GOVERNMENT SECURITIES

 

2,376

 

FEDERAL NATL MTG ASSN MTN

 

2.875% 12/11/2013 DD 12/11/08

 

U. S. GOVERNMENT SECURITIES

 

2,448

 

FEDERAL NATL MTG ASSN MTN

 

2.750% 03/13/2014 DD 03/13/09

 

U. S. GOVERNMENT SECURITIES

 

6,757

 

 

S - 7



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

FEDERAL NATL MTG ASSN MTN

 

3.625% 08/15/2011 DD 08/15/08

 

U. S. GOVERNMENT SECURITIES

 

9,637

 

FHA GMAC PROJ #56 221-D4

 

7.430% 11/01/2022 DD 09/01/82

 

U. S. GOVERNMENT SECURITIES

 

140

 

FHA INSD P/T MTG 98TH GMAC

 

6.919% 09/01/2019 DD 08/01/83

 

U. S. GOVERNMENT SECURITIES

 

37

 

FHA INSD PROJ 16TH REILLY MTG

 

7.000% 04/10/2027 DD 07/01/98

 

U. S. GOVERNMENT SECURITIES

 

30

 

FHA PROJ 221 CL D4 REILLY

 

7.430% 05/01/2022

 

U. S. GOVERNMENT SECURITIES

 

44

 

FHA PROJ MTG POOL# 04 REILLY

 

7.430% 07/01/2022 DD 07/01/82

 

U. S. GOVERNMENT SECURITIES

 

33

 

FHLMC   POOL #1B-1580

 

VAR RT 03/01/2034 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

393

 

FHLMC   POOL #1H-2524

 

VAR RT 08/01/2035 DD 09/01/05

 

U. S. GOVERNMENT SECURITIES

 

884

 

FHLMC   POOL #1J-1018

 

VAR RT 04/01/2038 DD 03/01/08

 

U. S. GOVERNMENT SECURITIES

 

1,212

 

FHLMC   POOL #1K-1233

 

VAR RT 05/01/2036 DD 05/01/06

 

U. S. GOVERNMENT SECURITIES

 

707

 

FHLMC   POOL #78-2935

 

VAR RT 12/01/2034 DD 12/01/04

 

U. S. GOVERNMENT SECURITIES

 

655

 

FHLMC   POOL #84-5355

 

VAR RT 05/01/2023 DD 05/01/93

 

U. S. GOVERNMENT SECURITIES

 

43

 

FHLMC   POOL #A1-6199

 

7.000% 04/01/2031 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

102

 

FHLMC   POOL #A1-8208

 

6.000% 03/01/2024 DD 01/01/04

 

U. S. GOVERNMENT SECURITIES

 

117

 

FHLMC   POOL #A4-1947

 

5.500% 01/01/2036 DD 01/01/06

 

U. S. GOVERNMENT SECURITIES

 

275

 

FHLMC   POOL #A4-3129

 

5.500% 02/01/2036 DD 02/01/06

 

U. S. GOVERNMENT SECURITIES

 

1

 

FHLMC   POOL #A5-8128

 

5.500% 03/01/2037 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

24

 

FHLMC   POOL #A5-8972

 

5.500% 04/01/2037 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

9

 

FHLMC   POOL #A5-9129

 

5.500% 04/01/2037 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

15

 

FHLMC   POOL #A5-9433

 

5.500% 04/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

17

 

FHLMC   POOL #A6-1954

 

5.500% 06/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

11

 

FHLMC   POOL #A6-5456

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

19

 

FHLMC   POOL #A6-5457

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

76

 

FHLMC   POOL #A6-5580

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

41

 

FHLMC   POOL #A6-5581

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

72

 

FHLMC   POOL #A6-5582

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

37

 

FHLMC   POOL #A6-5583

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

49

 

FHLMC   POOL #A6-5954

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

43

 

FHLMC   POOL #A6-5958

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

37

 

FHLMC   POOL #A6-5968

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

28

 

FHLMC   POOL #A6-5969

 

6.000% 09/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

27

 

FHLMC   POOL #A6-5991

 

6.000% 10/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

31

 

FHLMC   POOL #A6-7877

 

6.000% 04/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

18

 

FHLMC   POOL #A6-9805

 

5.500% 12/01/2037 DD 12/01/07

 

U. S. GOVERNMENT SECURITIES

 

95

 

FHLMC   POOL #A7-2610

 

6.000% 02/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

77

 

FHLMC   POOL #A7-2617

 

6.000% 02/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

83

 

FHLMC   POOL #A7-3274

 

6.000% 02/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

60

 

FHLMC   POOL #A7-5427

 

6.000% 03/01/2038 DD 03/01/08

 

U. S. GOVERNMENT SECURITIES

 

35

 

FHLMC   POOL #A7-6568

 

5.500% 04/01/2038 DD 04/01/08

 

U. S. GOVERNMENT SECURITIES

 

76

 

FHLMC   POOL #A7-7048

 

5.500% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

75

 

FHLMC   POOL #A7-7373

 

5.500% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

52

 

FHLMC   POOL #A7-7697

 

5.500% 06/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

7

 

FHLMC   POOL #A7-7799

 

5.500% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

19

 

FHLMC   POOL #A7-8132

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

11

 

FHLMC   POOL #A7-8469

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

76

 

FHLMC   POOL #A7-8470

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

174

 

FHLMC   POOL #A7-8471

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

168

 

FHLMC   POOL #A7-8472

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

133

 

FHLMC   POOL #A7-8488

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

133

 

FHLMC   POOL #A7-8489

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

206

 

FHLMC   POOL #A7-8490

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

57

 

FHLMC   POOL #A7-8491

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

20

 

FHLMC   POOL #A7-9211

 

6.000% 07/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

66

 

FHLMC   POOL #A8-0687

 

6.000% 08/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

48

 

FHLMC   POOL #A8-2377

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

33

 

FHLMC   POOL #A8-2395

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

85

 

FHLMC   POOL #A8-2463

 

5.500% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

65

 

FHLMC   POOL #A8-2706

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

64

 

FHLMC   POOL #A8-2776

 

6.000% 01/01/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

9

 

FHLMC   POOL #A8-2918

 

5.500% 11/01/2038 DD 11/01/08

 

U. S. GOVERNMENT SECURITIES

 

770

 

FHLMC   POOL #A8-3006

 

6.000% 11/01/2038 DD 11/01/08

 

U. S. GOVERNMENT SECURITIES

 

71

 

FHLMC   POOL #A8-3928

 

6.000% 01/01/2039 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

33

 

FHLMC   POOL #A8-3935

 

6.000% 01/01/2039 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

34

 

FHLMC   POOL #A8-4083

 

6.000% 01/01/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

22

 

FHLMC   POOL #A8-4100

 

6.000% 01/01/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

13

 

FHLMC   POOL #A8-4146

 

6.000% 01/01/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

10

 

FHLMC   POOL #A8-5071

 

5.000% 03/01/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

294

 

FHLMC   POOL #A8-5613

 

5.500% 04/01/2039 DD 04/01/09

 

U. S. GOVERNMENT SECURITIES

 

11

 

FHLMC   POOL #A8-5720

 

5.000% 04/01/2039 DD 04/01/09

 

U. S. GOVERNMENT SECURITIES

 

672

 

FHLMC   POOL #A8-5766

 

5.500% 04/01/2039 DD 04/01/09

 

U. S. GOVERNMENT SECURITIES

 

8

 

FHLMC   POOL #A8-6141

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

36

 

FHLMC   POOL #A8-6245

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

396

 

FHLMC   POOL #A8-6862

 

5.000% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

691

 

FHLMC   POOL #A8-7059

 

5.000% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

496

 

FHLMC   POOL #A8-7062

 

5.000% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

894

 

FHLMC   POOL #A8-7438

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

201

 

FHLMC   POOL #A8-7443

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

202

 

FHLMC   POOL #A8-7580

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

(205

)

FHLMC   POOL #A8-7625

 

5.000% 08/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

35

 

FHLMC   POOL #A8-7706

 

5.000% 08/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

30

 

FHLMC   POOL #A8-8050

 

5.000% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

48

 

FHLMC   POOL #A8-8118

 

5.000% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

53

 

FHLMC   POOL #A8-8401

 

5.000% 09/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

31

 

FHLMC   POOL #A8-8468

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,017

 

FHLMC   POOL #A8-8472

 

4.500% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

992

 

FHLMC   POOL #A8-8473

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

814

 

FHLMC   POOL #A8-8593

 

4.500% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

72

 

FHLMC   POOL #A8-8612

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

204

 

FHLMC   POOL #A8-8976

 

4.500% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

27

 

FHLMC   POOL #A8-9327

 

4.500% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

100

 

FHLMC   POOL #A8-9328

 

5.000% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

205

 

FHLMC   POOL #A8-9331

 

4.500% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

200

 

FHLMC   POOL #A8-9332

 

5.000% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

308

 

FHLMC   POOL #A8-9335

 

5.000% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

409

 

FHLMC   POOL #A8-9522

 

5.000% 11/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

508

 

FHLMC   POOL #A8-9871

 

5.000% 11/01/2039 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

415

 

FHLMC   POOL #A9-0582

 

5.000% 01/01/2040 DD 12/01/09

 

U. S. GOVERNMENT SECURITIES

 

(6,155

)

FHLMC   POOL #B1-0170

 

4.500% 10/01/2018 DD 10/01/03

 

U. S. GOVERNMENT SECURITIES

 

28

 

FHLMC   POOL #B1-0184

 

5.500% 10/01/2018 DD 10/01/03

 

U. S. GOVERNMENT SECURITIES

 

42

 

FHLMC   POOL #B1-0207

 

4.500% 10/01/2018 DD 10/01/03

 

U. S. GOVERNMENT SECURITIES

 

35

 

FHLMC   POOL #B1-0674

 

5.000% 11/01/2018 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

81

 

FHLMC   POOL #B1-0746

 

5.000% 11/01/2018 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

31

 

FHLMC   POOL #B1-0838

 

5.000% 11/01/2018 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

18

 

FHLMC   POOL #B1-1010

 

5.000% 12/01/2018 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

16

 

FHLMC   POOL #B1-1446

 

5.000% 12/01/2018 DD 12/01/03

 

U. S. GOVERNMENT SECURITIES

 

20

 

FHLMC   POOL #B1-1801

 

4.500% 01/01/2019 DD 01/01/04

 

U. S. GOVERNMENT SECURITIES

 

38

 

FHLMC   POOL #B1-2301

 

4.000% 02/01/2014 DD 02/01/04

 

U. S. GOVERNMENT SECURITIES

 

56

 

FHLMC   POOL #B1-2730

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

104

 

FHLMC   POOL #B1-2772

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

109

 

FHLMC   POOL #B1-2818

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

81

 

FHLMC   POOL #B1-2819

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

98

 

FHLMC   POOL #B1-2883

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

90

 

FHLMC   POOL #B1-2910

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

66

 

FHLMC   POOL #B1-2911

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

76

 

FHLMC   POOL #B1-3066

 

4.000% 03/01/2014 DD 03/01/04

 

U. S. GOVERNMENT SECURITIES

 

342

 

FHLMC   POOL #B1-3343

 

4.000% 04/01/2014 DD 04/01/04

 

U. S. GOVERNMENT SECURITIES

 

47

 

FHLMC   POOL #B1-3344

 

4.000% 04/01/2014 DD 04/01/04

 

U. S. GOVERNMENT SECURITIES

 

63

 

 

S - 8



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

FHLMC   POOL #B1-3360

 

4.000% 04/01/2014 DD 04/01/04

 

U. S. GOVERNMENT SECURITIES

 

78

 

FHLMC   POOL #C0-2964

 

6.000% 07/01/2037 DD 07/01/07

 

U. S. GOVERNMENT SECURITIES

 

2

 

FHLMC   POOL #C0-3404

 

4.500% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,973

 

FHLMC   POOL #C0-3410

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

2,034

 

FHLMC   POOL #C0-3412

 

4.500% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

298

 

FHLMC   POOL #C0-3413

 

4.500% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

396

 

FHLMC   POOL #C6-8269

 

7.000% 06/01/2032 DD 06/01/02

 

U. S. GOVERNMENT SECURITIES

 

198

 

FHLMC   POOL #C6-9013

 

7.000% 07/01/2032 DD 07/01/02

 

U. S. GOVERNMENT SECURITIES

 

265

 

FHLMC   POOL #D9-4598

 

6.500% 04/01/2021 DD 04/01/01

 

U. S. GOVERNMENT SECURITIES

 

37

 

FHLMC   POOL #E0-1157

 

6.000% 06/01/2017 DD 06/01/02

 

U. S. GOVERNMENT SECURITIES

 

51

 

FHLMC   POOL #E0-1281

 

5.000% 01/01/2018 DD 01/01/03

 

U. S. GOVERNMENT SECURITIES

 

13

 

FHLMC   POOL #E0-1378

 

5.000% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

74

 

FHLMC   POOL #E0-1448

 

5.000% 09/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

20

 

FHLMC   POOL #E0-1481

 

4.500% 10/01/2018 DD 10/01/03

 

U. S. GOVERNMENT SECURITIES

 

33

 

FHLMC   POOL #E0-1490

 

5.000% 11/01/2018 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

130

 

FHLMC   POOL #E0-1538

 

5.000% 12/01/2018 DD 12/01/03

 

U. S. GOVERNMENT SECURITIES

 

551

 

FHLMC   POOL #E7-6730

 

6.000% 05/01/2014 DD 05/01/99

 

U. S. GOVERNMENT SECURITIES

 

32

 

FHLMC   POOL #E7-7099

 

6.000% 05/01/2014 DD 05/01/99

 

U. S. GOVERNMENT SECURITIES

 

11

 

FHLMC   POOL #E9-0288

 

6.000% 06/01/2017 DD 06/01/02

 

U. S. GOVERNMENT SECURITIES

 

42

 

FHLMC   POOL #E9-1957

 

5.000% 10/01/2017 DD 10/01/02

 

U. S. GOVERNMENT SECURITIES

 

18

 

FHLMC   POOL #E9-2098

 

5.000% 11/01/2017 DD 10/01/02

 

U. S. GOVERNMENT SECURITIES

 

10

 

FHLMC   POOL #E9-2224

 

5.000% 11/01/2017 DD 10/01/02

 

U. S. GOVERNMENT SECURITIES

 

31

 

FHLMC   POOL #E9-6247

 

4.500% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

25

 

FHLMC   POOL #E9-6248

 

4.500% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

26

 

FHLMC   POOL #E9-6460

 

5.000% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

26

 

FHLMC   POOL #E9-6988

 

5.000% 06/01/2018 DD 06/01/03

 

U. S. GOVERNMENT SECURITIES

 

17

 

FHLMC   POOL #E9-7034

 

4.500% 06/01/2018 DD 06/01/03

 

U. S. GOVERNMENT SECURITIES

 

30

 

FHLMC   POOL #E9-7701

 

5.000% 07/01/2018 DD 07/01/03

 

U. S. GOVERNMENT SECURITIES

 

16

 

FHLMC   POOL #E9-9739

 

5.000% 08/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

23

 

FHLMC   POOL #E9-9763

 

4.500% 09/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

12

 

FHLMC   POOL #E9-9764

 

4.500% 09/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

12

 

FHLMC   POOL #E9-9765

 

4.500% 09/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

8

 

FHLMC   POOL #E9-9769

 

4.500% 09/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

25

 

FHLMC   POOL #E9-9770

 

4.500% 09/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

17

 

FHLMC   POOL #G0-1981

 

5.000% 12/01/2035 DD 12/01/05

 

U. S. GOVERNMENT SECURITIES

 

110

 

FHLMC   POOL #G0-3074

 

5.500% 04/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

63

 

FHLMC   POOL #G0-3143

 

6.000% 07/01/2037 DD 07/01/07

 

U. S. GOVERNMENT SECURITIES

 

3

 

FHLMC   POOL #G0-3640

 

5.500% 12/01/2037 DD 12/01/07

 

U. S. GOVERNMENT SECURITIES

 

19

 

FHLMC   POOL #G0-3952

 

5.500% 02/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

218

 

FHLMC   POOL #G0-4183

 

5.500% 04/01/2038 DD 04/01/08

 

U. S. GOVERNMENT SECURITIES

 

177

 

FHLMC   POOL #G0-4333

 

5.000% 04/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

87

 

FHLMC   POOL #G0-4346

 

6.000% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

874

 

FHLMC   POOL #G0-4594

 

5.500% 01/01/2036 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

50

 

FHLMC   POOL #G0-4778

 

6.000% 07/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

508

 

FHLMC   POOL #G0-4781

 

6.000% 07/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

459

 

FHLMC   POOL #G0-5124

 

6.000% 12/01/2038 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

249

 

FHLMC   POOL #G0-5529

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

368

 

FHLMC   POOL #G0-5626

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

(821

)

FHLMC   POOL #G0-5661

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,322

 

FHLMC   POOL #G1-0855

 

6.000% 12/01/2013 DD 11/01/98

 

U. S. GOVERNMENT SECURITIES

 

14

 

FHLMC   POOL #G1-1409

 

6.000% 05/01/2017 DD 06/01/03

 

U. S. GOVERNMENT SECURITIES

 

48

 

FHLMC   POOL #G1-1490

 

5.000% 10/01/2018 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

26

 

FHLMC   POOL #G1-1526

 

4.500% 03/01/2019 DD 02/01/04

 

U. S. GOVERNMENT SECURITIES

 

35

 

FHLMC   POOL #G1-1742

 

5.000% 07/01/2020 DD 06/01/05

 

U. S. GOVERNMENT SECURITIES

 

77

 

FHLMC   POOL #G1-2311

 

5.000% 12/01/2020 DD 08/01/06

 

U. S. GOVERNMENT SECURITIES

 

582

 

FHLMC   POOL #G1-8021

 

5.000% 11/01/2019 DD 11/01/04

 

U. S. GOVERNMENT SECURITIES

 

52

 

FHLMC   POOL #J1-0382

 

4.500% 07/01/2024 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

27

 

FHLMC   POOL #J1-0391

 

4.500% 07/01/2024 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

46

 

FHLMC   POOL #J1-0874

 

4.500% 09/01/2024 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

38

 

FHLMC   POOL #J1-0877

 

4.500% 10/01/2024 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

27

 

FHLMC   POOL #J1-1216

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

44

 

FHLMC   POOL #J1-1234

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

146

 

FHLMC   POOL #J1-1236

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

147

 

FHLMC   POOL #J1-1244

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

32

 

FHLMC   POOL #J1-1246

 

4.500% 12/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

59

 

FHLMC   POOL #J1-1247

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

70

 

FHLMC   POOL #J1-1251

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

56

 

FHLMC   POOL #J1-1253

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

27

 

FHLMC   POOL #P6-0084

 

6.000% 03/01/2016 DD 01/01/03

 

U. S. GOVERNMENT SECURITIES

 

149

 

FHLMC  GROUP #C4-5817

 

7.500% 12/01/2030 DD 12/01/00

 

U. S. GOVERNMENT SECURITIES

 

55

 

FHLMC  GROUP #E0-0894

 

8.500% 06/01/2015 DD 06/01/00

 

U. S. GOVERNMENT SECURITIES

 

21

 

FHLMC  GROUP #E0-0912

 

8.500% 08/01/2015 DD 08/01/00

 

U. S. GOVERNMENT SECURITIES

 

3

 

FHLMC  GROUP #E0-0935

 

8.500% 10/01/2015 DD 10/01/00

 

U. S. GOVERNMENT SECURITIES

 

35

 

FHLMC  GROUP #E7-0797

 

5.500% 06/01/2013 DD 06/01/98

 

U. S. GOVERNMENT SECURITIES

 

73

 

FHLMC  GROUP #E7-8829

 

6.000% 10/01/2014 DD 10/01/99

 

U. S. GOVERNMENT SECURITIES

 

25

 

FHLMC  GROUP #E8-1255

 

8.500% 08/01/2015 DD 08/01/00

 

U. S. GOVERNMENT SECURITIES

 

44

 

FHLMC  GROUP #G1-0777

 

9.000% 06/01/2010 DD 01/01/98

 

U. S. GOVERNMENT SECURITIES

 

1

 

FHLMC  GROUP #G1-0817

 

6.000% 06/01/2013 DD 06/01/98

 

U. S. GOVERNMENT SECURITIES

 

6

 

FHLMC MULTICLASS CTFS 2890 KC

 

4.500% 02/15/2019 DD 11/01/04

 

U. S. GOVERNMENT SECURITIES

 

1,534

 

FHLMC MULTICLASS MTG

 

6.250% 12/15/2028 DD 12/01/98

 

U. S. GOVERNMENT SECURITIES

 

1,547

 

FHLMC MULTICLASS MTG 2395 FT

 

VAR RT  12/15/2031 DD 12/15/01

 

U. S. GOVERNMENT SECURITIES

 

48

 

FHLMC MULTICLASS MTG 3063 YB

 

5.500% 06/15/2026 DD 11/01/05

 

U. S. GOVERNMENT SECURITIES

 

1,038

 

FHLMC MULTICLASS MTG 3284 CA

 

5.000% 10/15/2021 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

1,460

 

FHLMC MULTICLASS MTG T-61 1A1

 

VAR RT  07/25/2044 DD 06/01/04

 

U. S. GOVERNMENT SECURITIES

 

1,139

 

FIFTH THIRD BANCORP SR NT

 

6.250% 05/01/2013 DD 04/30/08

 

CORPORATE DEBT INSTRUMENTS

 

1,030

 

FINANCE FOR DANISH IND 144A

 

1.750% 12/06/2012 DD 12/09/09

 

CORPORATE DEBT INSTRUMENTS

 

1,771

 

FIRST HORIZON 04-AR6 CL II-A-1

 

VAR RT  12/25/2034 DD 10/01/04

 

CORPORATE DEBT INSTRUMENTS

 

25

 

FIRST REP MTG LN TR 02 FRB1 A

 

VAR RT  08/15/2032 DD 09/05/02

 

CORPORATE DEBT INSTRUMENTS

 

230

 

FIRST UN NATL BK 01-C2 CL A 2

 

6.663% 01/12/2043 DD 06/01/01

 

CORPORATE DEBT INSTRUMENTS

 

1,659

 

FIRST UN NATL BK 01-C4 CL A2

 

6.223% 12/12/2033 DD 12/01/01

 

CORPORATE DEBT INSTRUMENTS

 

1,414

 

FIRSTENERGY SOLUTIONS CO

 

4.800% 02/15/2015 DD 08/07/09

 

CORPORATE DEBT INSTRUMENTS

 

1,000

 

FNMA    POOL #0253683

 

7.500% 01/01/2031 DD 01/01/01

 

U. S. GOVERNMENT SECURITIES

 

81

 

FNMA    POOL #0254546

 

5.500% 12/01/2017 DD 11/01/02

 

U. S. GOVERNMENT SECURITIES

 

102

 

FNMA    POOL #0254548

 

5.500% 12/01/2032 DD 11/01/02

 

U. S. GOVERNMENT SECURITIES

 

4,394

 

FNMA    POOL #0254684

 

5.000% 03/01/2018 DD 02/01/03

 

U. S. GOVERNMENT SECURITIES

 

7

 

FNMA    POOL #0254753

 

4.000% 05/01/2010 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

151

 

FNMA    POOL #0254817

 

4.000% 06/01/2013 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

41

 

FNMA    POOL #0254845

 

4.000% 07/01/2013 DD 06/01/03

 

U. S. GOVERNMENT SECURITIES

 

55

 

FNMA    POOL #0254863

 

4.000% 08/01/2013 DD 07/01/03

 

U. S. GOVERNMENT SECURITIES

 

78

 

FNMA    POOL #0254909

 

4.000% 09/01/2013 DD 08/01/03

 

U. S. GOVERNMENT SECURITIES

 

153

 

FNMA    POOL #0254918

 

4.500% 09/01/2033 DD 08/01/03

 

U. S. GOVERNMENT SECURITIES

 

571

 

FNMA    POOL #0254957

 

4.000% 10/01/2013 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

320

 

FNMA    POOL #0254987

 

5.000% 12/01/2018 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

46

 

FNMA    POOL #0255174

 

VAR RT  03/01/2014 DD 02/01/04

 

U. S. GOVERNMENT SECURITIES

 

488

 

FNMA    POOL #0255654

 

4.500% 02/01/2035 DD 01/01/05

 

U. S. GOVERNMENT SECURITIES

 

221

 

FNMA    POOL #0255897

 

4.500% 10/01/2035 DD 09/01/05

 

U. S. GOVERNMENT SECURITIES

 

1,438

 

FNMA    POOL #0255934

 

6.000% 11/01/2035 DD 10/01/05

 

U. S. GOVERNMENT SECURITIES

 

62

 

FNMA    POOL #0256277

 

5.500% 06/01/2021 DD 05/01/06

 

U. S. GOVERNMENT SECURITIES

 

303

 

FNMA    POOL #0256532

 

5.000% 12/01/2016 DD 11/01/06

 

U. S. GOVERNMENT SECURITIES

 

39

 

FNMA    POOL #0256588

 

5.000% 12/01/2016 DD 12/01/06

 

U. S. GOVERNMENT SECURITIES

 

60

 

FNMA    POOL #0256605

 

5.000% 02/01/2017 DD 01/01/07

 

U. S. GOVERNMENT SECURITIES

 

18

 

FNMA    POOL #0256681

 

5.000% 04/01/2017 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

145

 

FNMA    POOL #0256718

 

5.000% 05/01/2017 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

43

 

FNMA    POOL #0256755

 

5.000% 06/01/2017 DD 05/01/07

 

U. S. GOVERNMENT SECURITIES

 

199

 

FNMA    POOL #0257077

 

5.500% 02/01/2023 DD 01/01/08

 

U. S. GOVERNMENT SECURITIES

 

847

 

FNMA    POOL #0303777

 

7.000% 03/01/2011 DD 02/01/96

 

U. S. GOVERNMENT SECURITIES

 

3

 

FNMA    POOL #0303906

 

7.000% 05/01/2011 DD 04/01/96

 

U. S. GOVERNMENT SECURITIES

 

4

 

 

S - 9



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

FNMA    POOL #0313467

 

5.500% 11/01/2011 DD 03/01/97

 

U. S. GOVERNMENT SECURITIES

 

94

 

FNMA    POOL #0340901

 

6.000% 03/01/2014 DD 03/01/96

 

U. S. GOVERNMENT SECURITIES

 

317

 

FNMA    POOL #0357273

 

5.000% 09/01/2017 DD 09/01/02

 

U. S. GOVERNMENT SECURITIES

 

59

 

FNMA    POOL #0357327

 

5.000% 01/01/2018 DD 01/01/03

 

U. S. GOVERNMENT SECURITIES

 

479

 

FNMA    POOL #0357413

 

5.000% 07/01/2018 DD 07/01/03

 

U. S. GOVERNMENT SECURITIES

 

21

 

FNMA    POOL #0357478

 

5.000% 12/01/2018 DD 01/01/04

 

U. S. GOVERNMENT SECURITIES

 

10

 

FNMA    POOL #0357850

 

5.500% 07/01/2035 DD 07/01/05

 

U. S. GOVERNMENT SECURITIES

 

32

 

FNMA    POOL #0359378

 

4.500% 05/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

10

 

FNMA    POOL #0420218

 

7.000% 03/01/2013 DD 03/01/98

 

U. S. GOVERNMENT SECURITIES

 

2

 

FNMA    POOL #0487505

 

5.500% 04/01/2029 DD 04/01/99

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0535327

 

5.500% 06/01/2011 DD 05/01/00

 

U. S. GOVERNMENT SECURITIES

 

86

 

FNMA    POOL #0555092

 

5.000% 12/01/2017 DD 11/01/02

 

U. S. GOVERNMENT SECURITIES

 

97

 

FNMA    POOL #0555114

 

5.500% 12/01/2017 DD 11/01/02

 

U. S. GOVERNMENT SECURITIES

 

105

 

FNMA    POOL #0555361

 

4.500% 04/01/2018 DD 03/01/03

 

U. S. GOVERNMENT SECURITIES

 

8

 

FNMA    POOL #0555363

 

5.000% 04/01/2018 DD 03/01/03

 

U. S. GOVERNMENT SECURITIES

 

43

 

FNMA    POOL #0555417

 

6.000% 05/01/2033 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

16

 

FNMA    POOL #0555424

 

5.500% 05/01/2033 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

5,085

 

FNMA    POOL #0555531

 

5.500% 06/01/2033 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

1,631

 

FNMA    POOL #0555549

 

5.000% 06/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

11

 

FNMA    POOL #0555880

 

5.500% 11/01/2033 DD 10/01/03

 

U. S. GOVERNMENT SECURITIES

 

333

 

FNMA    POOL #0611001

 

5.500% 11/01/2016 DD 11/01/01

 

U. S. GOVERNMENT SECURITIES

 

20

 

FNMA    POOL #0626014

 

5.500% 02/01/2017 DD 01/01/02

 

U. S. GOVERNMENT SECURITIES

 

48

 

FNMA    POOL #0652610

 

5.000% 04/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

41

 

FNMA    POOL #0654650

 

5.500% 01/01/2018 DD 01/01/03

 

U. S. GOVERNMENT SECURITIES

 

162

 

FNMA    POOL #0656564

 

5.000% 04/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

7

 

FNMA    POOL #0669334

 

5.000% 11/01/2017 DD 11/01/02

 

U. S. GOVERNMENT SECURITIES

 

48

 

FNMA    POOL #0672347

 

5.000% 12/01/2017 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

38

 

FNMA    POOL #0674595

 

5.000% 12/01/2017 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

44

 

FNMA    POOL #0674690

 

5.000% 01/01/2018 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

41

 

FNMA    POOL #0674694

 

5.000% 01/01/2018 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

40

 

FNMA    POOL #0674715

 

5.000% 01/01/2018 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

55

 

FNMA    POOL #0675223

 

5.000% 12/01/2017 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

38

 

FNMA    POOL #0675259

 

5.000% 12/01/2017 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

57

 

FNMA    POOL #0676688

 

5.000% 12/01/2017 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

55

 

FNMA    POOL #0678000

 

5.000% 12/01/2017 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

1,714

 

FNMA    POOL #0678108

 

5.000% 01/01/2018 DD 12/01/02

 

U. S. GOVERNMENT SECURITIES

 

358

 

FNMA    POOL #0684444

 

5.000% 04/01/2018 DD 03/01/03

 

U. S. GOVERNMENT SECURITIES

 

25

 

FNMA    POOL #0685505

 

5.000% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

8

 

FNMA    POOL #0685506

 

5.000% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

6

 

FNMA    POOL #0686044

 

VAR RT  07/01/2033 DD 07/01/03

 

U. S. GOVERNMENT SECURITIES

 

384

 

FNMA    POOL #0686229

 

5.000% 02/01/2018 DD 02/01/03

 

U. S. GOVERNMENT SECURITIES

 

24

 

FNMA    POOL #0688017

 

5.500% 03/01/2033 DD 02/01/03

 

U. S. GOVERNMENT SECURITIES

 

101

 

FNMA    POOL #0694406

 

5.500% 03/01/2033 DD 03/01/03

 

U. S. GOVERNMENT SECURITIES

 

73

 

FNMA    POOL #0695844

 

5.000% 04/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

121

 

FNMA    POOL #0695845

 

5.000% 04/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

33

 

FNMA    POOL #0695904

 

5.000% 05/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

510

 

FNMA    POOL #0695926

 

5.000% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

48

 

FNMA    POOL #0695932

 

5.000% 06/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

34

 

FNMA    POOL #0698975

 

5.000% 04/01/2018 DD 03/01/03

 

U. S. GOVERNMENT SECURITIES

 

10

 

FNMA    POOL #0702857

 

5.000% 04/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

901

 

FNMA    POOL #0703445

 

5.000% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

68

 

FNMA    POOL #0703710

 

5.000% 02/01/2018 DD 04/01/03

 

U. S. GOVERNMENT SECURITIES

 

80

 

FNMA    POOL #0705709

 

5.000% 05/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

9

 

FNMA    POOL #0708804

 

5.000% 06/01/2018 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

12

 

FNMA    POOL #0709826

 

5.000% 06/01/2018 DD 06/01/03

 

U. S. GOVERNMENT SECURITIES

 

13

 

FNMA    POOL #0720286

 

5.500% 03/01/2033 DD 05/01/03

 

U. S. GOVERNMENT SECURITIES

 

43

 

FNMA    POOL #0724866

 

5.000% 06/01/2018 DD 06/01/03

 

U. S. GOVERNMENT SECURITIES

 

31

 

FNMA    POOL #0725050

 

4.500% 01/01/2019 DD 12/01/03

 

U. S. GOVERNMENT SECURITIES

 

34

 

FNMA    POOL #0725206

 

5.500% 02/01/2034 DD 02/01/04

 

U. S. GOVERNMENT SECURITIES

 

1,458

 

FNMA    POOL #0725277

 

4.500% 03/01/2019 DD 02/01/04

 

U. S. GOVERNMENT SECURITIES

 

47

 

FNMA    POOL #0725424

 

5.500% 04/01/2034 DD 04/01/04

 

U. S. GOVERNMENT SECURITIES

 

73

 

FNMA    POOL #0725425

 

5.500% 04/01/2034 DD 04/01/04

 

U. S. GOVERNMENT SECURITIES

 

7,214

 

FNMA    POOL #0725519

 

5.500% 05/01/2019 DD 05/01/04

 

U. S. GOVERNMENT SECURITIES

 

540

 

FNMA    POOL #0725773

 

5.500% 09/01/2034 DD 08/01/04

 

U. S. GOVERNMENT SECURITIES

 

6,986

 

FNMA    POOL #0725791

 

5.000% 11/01/2018 DD 08/01/04

 

U. S. GOVERNMENT SECURITIES

 

52

 

FNMA    POOL #0725946

 

5.500% 11/01/2034 DD 10/01/04

 

U. S. GOVERNMENT SECURITIES

 

1,105

 

FNMA    POOL #0725946

 

5.500% 11/01/2034 DD 10/01/04

 

U. S. GOVERNMENT SECURITIES

 

3,946

 

FNMA    POOL #0727181

 

5.000% 08/01/2033 DD 08/01/03

 

U. S. GOVERNMENT SECURITIES

 

33

 

FNMA    POOL #0729214

 

VAR RT  02/01/2035 DD 02/01/05

 

U. S. GOVERNMENT SECURITIES

 

1,119

 

FNMA    POOL #0731380

 

4.500% 08/01/2033 DD 08/01/03

 

U. S. GOVERNMENT SECURITIES

 

530

 

FNMA    POOL #0734788

 

4.000% 09/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

2,285

 

FNMA    POOL #0735141

 

5.500% 01/01/2035 DD 12/01/04

 

U. S. GOVERNMENT SECURITIES

 

4,490

 

FNMA    POOL #0735224

 

5.500% 02/01/2035 DD 01/01/05

 

U. S. GOVERNMENT SECURITIES

 

13,401

 

FNMA    POOL #0735403

 

5.000% 04/01/2035 DD 03/01/05

 

U. S. GOVERNMENT SECURITIES

 

4,765

 

FNMA    POOL #0735439

 

6.000% 09/01/2019 DD 03/01/05

 

U. S. GOVERNMENT SECURITIES

 

638

 

FNMA    POOL #0735611

 

5.500% 03/01/2020 DD 05/01/05

 

U. S. GOVERNMENT SECURITIES

 

37

 

FNMA    POOL #0735667

 

5.000% 07/01/2035 DD 06/01/05

 

U. S. GOVERNMENT SECURITIES

 

5,105

 

FNMA    POOL #0735925

 

5.000% 10/01/2035 DD 09/01/05

 

U. S. GOVERNMENT SECURITIES

 

6,279

 

FNMA    POOL #0735989

 

5.500% 02/01/2035 DD 10/01/05

 

U. S. GOVERNMENT SECURITIES

 

2,232

 

FNMA    POOL #0739410

 

5.500% 10/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

232

 

FNMA    POOL #0740482

 

5.500% 10/01/2018 DD 10/01/03

 

U. S. GOVERNMENT SECURITIES

 

6

 

FNMA    POOL #0743133

 

5.000% 10/01/2018 DD 09/01/03

 

U. S. GOVERNMENT SECURITIES

 

33

 

FNMA    POOL #0745193

 

5.500% 06/01/2020 DD 12/01/05

 

U. S. GOVERNMENT SECURITIES

 

538

 

FNMA    POOL #0745238

 

6.000% 12/01/2020 DD 12/01/05

 

U. S. GOVERNMENT SECURITIES

 

796

 

FNMA    POOL #0745275

 

5.000% 02/01/2036 DD 01/01/06

 

U. S. GOVERNMENT SECURITIES

 

5,408

 

FNMA    POOL #0745281

 

6.000% 01/01/2036 DD 01/01/06

 

U. S. GOVERNMENT SECURITIES

 

272

 

FNMA    POOL #0745355

 

5.000% 03/01/2036 DD 02/01/06

 

U. S. GOVERNMENT SECURITIES

 

20

 

FNMA    POOL #0745412

 

5.500% 12/01/2035 DD 03/01/06

 

U. S. GOVERNMENT SECURITIES

 

1,956

 

FNMA    POOL #0745515

 

5.000% 05/01/2036 DD 04/01/06

 

U. S. GOVERNMENT SECURITIES

 

1,010

 

FNMA    POOL #0748840

 

5.500% 06/01/2022 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

45

 

FNMA    POOL #0750478

 

6.000% 12/01/2033 DD 12/01/03

 

U. S. GOVERNMENT SECURITIES

 

11

 

FNMA    POOL #0761461

 

5.500% 03/01/2019 DD 05/01/04

 

U. S. GOVERNMENT SECURITIES

 

30

 

FNMA    POOL #0761496

 

5.000% 09/01/2019 DD 09/01/04

 

U. S. GOVERNMENT SECURITIES

 

12

 

FNMA    POOL #0766312

 

5.500% 03/01/2019 DD 02/01/04

 

U. S. GOVERNMENT SECURITIES

 

58

 

FNMA    POOL #0775776

 

5.500% 05/01/2034 DD 05/01/04

 

U. S. GOVERNMENT SECURITIES

 

24

 

FNMA    POOL #0776276

 

5.000% 04/01/2019 DD 04/01/04

 

U. S. GOVERNMENT SECURITIES

 

20

 

FNMA    POOL #0776974

 

5.500% 04/01/2034 DD 04/01/04

 

U. S. GOVERNMENT SECURITIES

 

3

 

FNMA    POOL #0777481

 

5.500% 06/01/2034 DD 06/01/04

 

U. S. GOVERNMENT SECURITIES

 

146

 

FNMA    POOL #0781629

 

5.500% 12/01/2034 DD 12/01/04

 

U. S. GOVERNMENT SECURITIES

 

173

 

FNMA    POOL #0788275

 

5.000% 07/01/2019 DD 07/01/04

 

U. S. GOVERNMENT SECURITIES

 

52

 

FNMA    POOL #0790397

 

5.000% 08/01/2019 DD 08/01/04

 

U. S. GOVERNMENT SECURITIES

 

27

 

FNMA    POOL #0791589

 

VAR RT  10/01/2034 DD 09/01/04

 

U. S. GOVERNMENT SECURITIES

 

580

 

FNMA    POOL #0796100

 

5.500% 10/01/2034 DD 10/01/04

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0798084

 

6.000% 02/01/2035 DD 02/01/05

 

U. S. GOVERNMENT SECURITIES

 

24

 

FNMA    POOL #0811034

 

5.000% 10/01/2019 DD 12/01/04

 

U. S. GOVERNMENT SECURITIES

 

173

 

FNMA    POOL #0812185

 

4.500% 02/01/2035 DD 02/01/05

 

U. S. GOVERNMENT SECURITIES

 

233

 

FNMA    POOL #0814474

 

4.500% 03/01/2035 DD 03/01/05

 

U. S. GOVERNMENT SECURITIES

 

187

 

FNMA    POOL #0815073

 

6.000% 04/01/2035 DD 04/01/05

 

U. S. GOVERNMENT SECURITIES

 

15

 

FNMA    POOL #0819359

 

4.500% 03/01/2035 DD 03/01/05

 

U. S. GOVERNMENT SECURITIES

 

216

 

FNMA    POOL #0822815

 

5.500% 04/01/2035 DD 04/01/05

 

U. S. GOVERNMENT SECURITIES

 

42

 

FNMA    POOL #0826003

 

6.000% 07/01/2035 DD 06/01/05

 

U. S. GOVERNMENT SECURITIES

 

94

 

FNMA    POOL #0826453

 

5.500% 07/01/2035 DD 07/01/05

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0829220

 

5.500% 08/01/2035 DD 08/01/05

 

U. S. GOVERNMENT SECURITIES

 

2

 

FNMA    POOL #0831284

 

6.000% 02/01/2036 DD 02/01/06

 

U. S. GOVERNMENT SECURITIES

 

24

 

FNMA    POOL #0833375

 

6.000% 08/01/2035 DD 08/01/05

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0833408

 

4.500% 09/01/2035 DD 08/01/05

 

U. S. GOVERNMENT SECURITIES

 

48

 

FNMA    POOL #0835746

 

5.000% 08/01/2035 DD 08/01/05

 

U. S. GOVERNMENT SECURITIES

 

1,280

 

 

S - 10



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

FNMA    POOL #0839466

 

4.500% 09/01/2035 DD 09/01/05

 

U. S. GOVERNMENT SECURITIES

 

760

 

FNMA    POOL #0841079

 

4.500% 09/01/2035 DD 09/01/05

 

U. S. GOVERNMENT SECURITIES

 

741

 

FNMA    POOL #0844181

 

6.000% 11/01/2035 DD 10/01/05

 

U. S. GOVERNMENT SECURITIES

 

147

 

FNMA    POOL #0845155

 

5.500% 01/01/2021 DD 01/01/06

 

U. S. GOVERNMENT SECURITIES

 

308

 

FNMA    POOL #0847027

 

6.000% 11/01/2035 DD 11/01/05

 

U. S. GOVERNMENT SECURITIES

 

23

 

FNMA    POOL #0865854

 

6.000% 03/01/2036 DD 02/01/06

 

U. S. GOVERNMENT SECURITIES

 

42

 

FNMA    POOL #0866549

 

6.000% 03/01/2036 DD 03/01/06

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0870539

 

VAR RT  03/01/2036 DD 03/01/06

 

U. S. GOVERNMENT SECURITIES

 

971

 

FNMA    POOL #0870697

 

6.000% 08/01/2036 DD 08/01/06

 

U. S. GOVERNMENT SECURITIES

 

63

 

FNMA    POOL #0878566

 

6.000% 03/01/2036 DD 03/01/06

 

U. S. GOVERNMENT SECURITIES

 

10

 

FNMA    POOL #0880926

 

6.000% 05/01/2036 DD 05/01/06

 

U. S. GOVERNMENT SECURITIES

 

4

 

FNMA    POOL #0880966

 

5.500% 09/01/2021 DD 09/01/06

 

U. S. GOVERNMENT SECURITIES

 

42

 

FNMA    POOL #0880988

 

5.500% 12/01/2021 DD 12/01/06

 

U. S. GOVERNMENT SECURITIES

 

43

 

FNMA    POOL #0883075

 

6.000% 06/01/2036 DD 06/01/06

 

U. S. GOVERNMENT SECURITIES

 

9

 

FNMA    POOL #0885324

 

6.000% 06/01/2036 DD 06/01/06

 

U. S. GOVERNMENT SECURITIES

 

2,285

 

FNMA    POOL #0886749

 

5.500% 08/01/2021 DD 08/01/06

 

U. S. GOVERNMENT SECURITIES

 

17

 

FNMA    POOL #0887046

 

6.000% 08/01/2036 DD 08/01/06

 

U. S. GOVERNMENT SECURITIES

 

37

 

FNMA    POOL #0888104

 

5.000% 05/01/2021 DD 12/01/06

 

U. S. GOVERNMENT SECURITIES

 

429

 

FNMA    POOL #0888492

 

VAR RT  05/01/2033 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

128

 

FNMA    POOL #0888511

 

VAR RT  12/01/2033 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

319

 

FNMA    POOL #0888514

 

VAR RT  03/01/2035 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

1,255

 

FNMA    POOL #0888517

 

VAR RT  12/01/2035 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

1,046

 

FNMA    POOL #0888967

 

6.000% 12/01/2037 DD 12/01/07

 

U. S. GOVERNMENT SECURITIES

 

228

 

FNMA    POOL #0889219

 

6.000% 03/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

310

 

FNMA    POOL #0889385

 

6.000% 02/01/2038 DD 04/01/08

 

U. S. GOVERNMENT SECURITIES

 

498

 

FNMA    POOL #0889641

 

5.500% 08/01/2037 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

8,968

 

FNMA    POOL #0889839

 

5.500% 12/01/2035 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

8

 

FNMA    POOL #0889858

 

5.500% 07/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

200

 

FNMA    POOL #0889970

 

5.000% 12/01/2036 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

7,070

 

FNMA    POOL #0889983

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

156

 

FNMA    POOL #0889989

 

5.500% 04/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

112

 

FNMA    POOL #0891474

 

6.000% 04/01/2036 DD 04/01/06

 

U. S. GOVERNMENT SECURITIES

 

50

 

FNMA    POOL #0893282

 

6.000% 08/01/2036 DD 08/01/06

 

U. S. GOVERNMENT SECURITIES

 

64

 

FNMA    POOL #0893898

 

6.000% 10/01/2036 DD 09/01/06

 

U. S. GOVERNMENT SECURITIES

 

199

 

FNMA    POOL #0896003

 

6.000% 08/01/2036 DD 07/01/06

 

U. S. GOVERNMENT SECURITIES

 

1,901

 

FNMA    POOL #0899119

 

5.500% 04/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

3

 

FNMA    POOL #0899250

 

5.500% 04/01/2022 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

288

 

FNMA    POOL #0899308

 

5.000% 04/01/2022 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

7

 

FNMA    POOL #0899548

 

5.500% 06/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

27

 

FNMA    POOL #0902168

 

5.500% 11/01/2021 DD 10/01/06

 

U. S. GOVERNMENT SECURITIES

 

434

 

FNMA    POOL #0902563

 

5.500% 11/01/2021 DD 11/01/06

 

U. S. GOVERNMENT SECURITIES

 

18

 

FNMA    POOL #0902663

 

6.000% 11/01/2036 DD 11/01/06

 

U. S. GOVERNMENT SECURITIES

 

52

 

FNMA    POOL #0902853

 

5.500% 12/01/2036 DD 11/01/06

 

U. S. GOVERNMENT SECURITIES

 

5

 

FNMA    POOL #0907239

 

6.000% 12/01/2036 DD 12/01/06

 

U. S. GOVERNMENT SECURITIES

 

1,302

 

FNMA    POOL #0911576

 

5.500% 04/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0911582

 

5.500% 04/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

73

 

FNMA    POOL #0912488

 

5.500% 03/01/2022 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

340

 

FNMA    POOL #0912671

 

5.500% 03/01/2037 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

6

 

FNMA    POOL #0915127

 

6.000% 05/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

860

 

FNMA    POOL #0915635

 

6.000% 06/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

161

 

FNMA    POOL #0918092

 

5.500% 05/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

47

 

FNMA    POOL #0918238

 

5.500% 05/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

4

 

FNMA    POOL #0918858

 

5.500% 04/01/2037 DD 04/01/07

 

U. S. GOVERNMENT SECURITIES

 

11

 

FNMA    POOL #0923817

 

5.500% 04/01/2037 DD 05/01/07

 

U. S. GOVERNMENT SECURITIES

 

9

 

FNMA    POOL #0925992

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

30

 

FNMA    POOL #0928062

 

5.500% 02/01/2037 DD 02/01/07

 

U. S. GOVERNMENT SECURITIES

 

2

 

FNMA    POOL #0928125

 

5.500% 03/01/2037 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

14

 

FNMA    POOL #0928469

 

5.500% 07/01/2037 DD 07/01/07

 

U. S. GOVERNMENT SECURITIES

 

6

 

FNMA    POOL #0930562

 

5.000% 02/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

31

 

FNMA    POOL #0930574

 

5.500% 02/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

12

 

FNMA    POOL #0930637

 

4.500% 10/01/2019 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

23

 

FNMA    POOL #0931147

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

102

 

FNMA    POOL #0931154

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

55

 

FNMA    POOL #0931378

 

4.500% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

51

 

FNMA    POOL #0934138

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

26

 

FNMA    POOL #0934276

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

6

 

FNMA    POOL #0934624

 

6.000% 11/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

29

 

FNMA    POOL #0935221

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

100

 

FNMA    POOL #0935541

 

5.000% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

34

 

FNMA    POOL #0935764

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

187

 

FNMA    POOL #0936887

 

6.000% 08/01/2037 DD 08/01/07

 

U. S. GOVERNMENT SECURITIES

 

211

 

FNMA    POOL #0938039

 

5.500% 07/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

7

 

FNMA    POOL #0938394

 

6.000% 07/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

49

 

FNMA    POOL #0938488

 

5.500% 05/01/2037 DD 05/01/07

 

U. S. GOVERNMENT SECURITIES

 

5

 

FNMA    POOL #0939493

 

5.500% 06/01/2037 DD 06/01/07

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0942332

 

5.500% 08/01/2037 DD 07/01/07

 

U. S. GOVERNMENT SECURITIES

 

20

 

FNMA    POOL #0942347

 

6.000% 08/01/2037 DD 07/01/07

 

U. S. GOVERNMENT SECURITIES

 

6,934

 

FNMA    POOL #0942569

 

6.000% 08/01/2037 DD 07/01/07

 

U. S. GOVERNMENT SECURITIES

 

26

 

FNMA    POOL #0942786

 

6.000% 08/01/2037 DD 08/01/07

 

U. S. GOVERNMENT SECURITIES

 

18

 

FNMA    POOL #0942950

 

6.000% 09/01/2037 DD 08/01/07

 

U. S. GOVERNMENT SECURITIES

 

72

 

FNMA    POOL #0947458

 

6.000% 10/01/2037 DD 09/01/07

 

U. S. GOVERNMENT SECURITIES

 

2,482

 

FNMA    POOL #0947644

 

6.000% 10/01/2037 DD 10/01/07

 

U. S. GOVERNMENT SECURITIES

 

112

 

FNMA    POOL #0948145

 

6.000% 11/01/2037 DD 10/01/07

 

U. S. GOVERNMENT SECURITIES

 

603

 

FNMA    POOL #0948632

 

6.000% 08/01/2037 DD 08/01/07

 

U. S. GOVERNMENT SECURITIES

 

2,715

 

FNMA    POOL #0950789

 

6.000% 10/01/2037 DD 10/01/07

 

U. S. GOVERNMENT SECURITIES

 

25

 

FNMA    POOL #0952215

 

6.000% 11/01/2037 DD 10/01/07

 

U. S. GOVERNMENT SECURITIES

 

71

 

FNMA    POOL #0952802

 

6.000% 10/01/2037 DD 10/01/07

 

U. S. GOVERNMENT SECURITIES

 

63

 

FNMA    POOL #0953725

 

6.000% 11/01/2037 DD 11/01/07

 

U. S. GOVERNMENT SECURITIES

 

31

 

FNMA    POOL #0955778

 

6.000% 10/01/2037 DD 10/01/07

 

U. S. GOVERNMENT SECURITIES

 

292

 

FNMA    POOL #0959444

 

6.000% 12/01/2037 DD 11/01/07

 

U. S. GOVERNMENT SECURITIES

 

92

 

FNMA    POOL #0960031

 

5.500% 12/01/2037 DD 12/01/07

 

U. S. GOVERNMENT SECURITIES

 

165

 

FNMA    POOL #0961808

 

5.000% 03/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

833

 

FNMA    POOL #0962122

 

5.500% 03/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

6

 

FNMA    POOL #0962838

 

5.000% 04/01/2038 DD 04/01/08

 

U. S. GOVERNMENT SECURITIES

 

1,389

 

FNMA    POOL #0963271

 

5.500% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

81

 

FNMA    POOL #0963359

 

6.000% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

110

 

FNMA    POOL #0963450

 

6.000% 06/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

98

 

FNMA    POOL #0963607

 

5.500% 06/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

2

 

FNMA    POOL #0963831

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

54

 

FNMA    POOL #0963959

 

5.500% 07/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

69

 

FNMA    POOL #0964398

 

6.000% 07/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

220

 

FNMA    POOL #0964451

 

5.500% 07/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

94

 

FNMA    POOL #0964930

 

5.500% 08/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

2

 

FNMA    POOL #0965054

 

5.500% 09/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

38

 

FNMA    POOL #0965092

 

5.500% 09/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

9

 

FNMA    POOL #0966608

 

5.500% 02/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0968371

 

5.500% 09/01/2038 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

4

 

FNMA    POOL #0968465

 

VAR RT  08/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

1,282

 

FNMA    POOL #0969751

 

6.000% 02/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

32

 

FNMA    POOL #0970131

 

5.500% 03/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

4

 

FNMA    POOL #0970581

 

5.500% 10/01/2038 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

2

 

FNMA    POOL #0970593

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

76

 

FNMA    POOL #0970610

 

5.500% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

28

 

FNMA    POOL #0970704

 

6.000% 11/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

79

 

FNMA    POOL #0970721

 

6.000% 11/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

29

 

FNMA    POOL #0973159

 

5.500% 03/01/2038 DD 02/01/08

 

U. S. GOVERNMENT SECURITIES

 

17

 

FNMA    POOL #0973717

 

6.000% 04/01/2038 DD 04/01/08

 

U. S. GOVERNMENT SECURITIES

 

1,608

 

 

S - 11



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

FNMA    POOL #0974966

 

5.500% 04/01/2038 DD 04/01/08

 

U. S. GOVERNMENT SECURITIES

 

28

 

FNMA    POOL #0975382

 

5.000% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

76

 

FNMA    POOL #0975601

 

6.000% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

84

 

FNMA    POOL #0976798

 

5.500% 04/01/2038 DD 04/01/08

 

U. S. GOVERNMENT SECURITIES

 

448

 

FNMA    POOL #0977014

 

5.500% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

7

 

FNMA    POOL #0979565

 

5.500% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

47

 

FNMA    POOL #0981313

 

5.500% 06/01/2038 DD 06/01/08

 

U. S. GOVERNMENT SECURITIES

 

4

 

FNMA    POOL #0981726

 

6.000% 07/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

81

 

FNMA    POOL #0981909

 

5.500% 06/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

37

 

FNMA    POOL #0982939

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

59

 

FNMA    POOL #0983003

 

5.500% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

1

 

FNMA    POOL #0983130

 

4.500% 05/01/2023 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

790

 

FNMA    POOL #0983367

 

6.000% 08/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

90

 

FNMA    POOL #0983996

 

5.000% 06/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

775

 

FNMA    POOL #0984017

 

5.500% 06/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

92

 

FNMA    POOL #0984031

 

5.000% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

1,279

 

FNMA    POOL #0984317

 

5.500% 05/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

7

 

FNMA    POOL #0984623

 

6.000% 06/01/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

32

 

FNMA    POOL #0985108

 

5.500% 07/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

4

 

FNMA    POOL #0985109

 

5.500% 07/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

130

 

FNMA    POOL #0985146

 

5.500% 09/01/2038 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

25

 

FNMA    POOL #0986488

 

6.000% 08/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

117

 

FNMA    POOL #0986760

 

5.500% 07/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

21

 

FNMA    POOL #0986782

 

5.500% 07/01/2038 DD 07/01/08

 

U. S. GOVERNMENT SECURITIES

 

89

 

FNMA    POOL #0987032

 

5.500% 08/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

4

 

FNMA    POOL #0987081

 

6.000% 08/01/2038 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

37

 

FNMA    POOL #0988457

 

5.500% 10/01/2023 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

595

 

FNMA    POOL #0988916

 

5.000% 08/01/2023 DD 08/01/08

 

U. S. GOVERNMENT SECURITIES

 

20

 

FNMA    POOL #0990644

 

5.500% 09/01/2038 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

9

 

FNMA    POOL #0990888

 

5.500% 09/01/2023 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

639

 

FNMA    POOL #0990924

 

5.500% 09/01/2038 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

41

 

FNMA    POOL #0991052

 

6.000% 10/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

54

 

FNMA    POOL #0991909

 

6.000% 11/01/2038 DD 11/01/08

 

U. S. GOVERNMENT SECURITIES

 

53

 

FNMA    POOL #0992543

 

5.500% 11/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

51

 

FNMA    POOL #0992546

 

5.500% 11/01/2038 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

43

 

FNMA    POOL #0992814

 

5.500% 11/01/2023 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

741

 

FNMA    POOL #0993050

 

5.500% 12/01/2038 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

2

 

FNMA    POOL #0994690

 

5.000% 02/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

28

 

FNMA    POOL #0995022

 

5.500% 08/01/2037 DD 10/01/08

 

U. S. GOVERNMENT SECURITIES

 

4,349

 

FNMA    POOL #0995112

 

5.500% 07/01/2036 DD 11/01/08

 

U. S. GOVERNMENT SECURITIES

 

5,293

 

FNMA    POOL #0995113

 

5.500% 09/01/2036 DD 11/01/08

 

U. S. GOVERNMENT SECURITIES

 

272

 

FNMA    POOL #0995429

 

5.500% 09/01/2023 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

234

 

FNMA    POOL #0995430

 

5.500% 09/01/2023 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

170

 

FNMA    POOL #0995432

 

5.500% 10/01/2023 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

90

 

FNMA    POOL #0AA0604

 

5.500% 02/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

35

 

FNMA    POOL #0AA0606

 

5.500% 02/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

48

 

FNMA    POOL #0AA0758

 

5.500% 03/01/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

53

 

FNMA    POOL #0AA0784

 

5.000% 04/01/2039 DD 04/01/09

 

U. S. GOVERNMENT SECURITIES

 

31

 

FNMA    POOL #0AA1309

 

5.500% 11/01/2032 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

1,212

 

FNMA    POOL #0AA1321

 

6.000% 05/01/2033 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

24

 

FNMA    POOL #0AA1631

 

5.500% 01/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

43

 

FNMA    POOL #0AA1651

 

5.500% 02/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

43

 

FNMA    POOL #0AA3130

 

5.500% 02/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

34

 

FNMA    POOL #0AA3329

 

4.000% 05/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

3,994

 

FNMA    POOL #0AA3395

 

5.500% 03/01/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

139

 

FNMA    POOL #0AA4106

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

32

 

FNMA    POOL #0AA5414

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

38

 

FNMA    POOL #0AA5804

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

33

 

FNMA    POOL #0AA5828

 

4.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,425

 

FNMA    POOL #0AA5840

 

4.000% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

953

 

FNMA    POOL #0AA6024

 

5.000% 05/01/2039 DD 04/01/09

 

U. S. GOVERNMENT SECURITIES

 

99

 

FNMA    POOL #0AA6061

 

5.000% 05/01/2039 DD 04/01/09

 

U. S. GOVERNMENT SECURITIES

 

100

 

FNMA    POOL #0AA6337

 

4.500% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

33

 

FNMA    POOL #0AA6579

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

30

 

FNMA    POOL #0AA6580

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

29

 

FNMA    POOL #0AA6614

 

4.000% 05/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

783

 

FNMA    POOL #0AA6852

 

5.000% 05/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

47

 

FNMA    POOL #0AA6923

 

4.500% 07/01/2024 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

47

 

FNMA    POOL #0AA6937

 

5.000% 09/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

28

 

FNMA    POOL #0AA7412

 

5.000% 06/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

67

 

FNMA    POOL #0AA7504

 

4.000% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

948

 

FNMA    POOL #0AA8034

 

4.000% 06/01/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,435

 

FNMA    POOL #0AA8222

 

4.500% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

45

 

FNMA    POOL #0AA8231

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

28

 

FNMA    POOL #0AA8232

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

33

 

FNMA    POOL #0AA8422

 

4.500% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

50

 

FNMA    POOL #0AA8430

 

4.500% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

68

 

FNMA    POOL #0AA8965

 

4.500% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

42

 

FNMA    POOL #0AA8979

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

33

 

FNMA    POOL #0AA9006

 

4.500% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

37

 

FNMA    POOL #0AA9010

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

29

 

FNMA    POOL #0AA9011

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

26

 

FNMA    POOL #0AA9132

 

4.500% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

44

 

FNMA    POOL #0AA9133

 

4.500% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

26

 

FNMA    POOL #0AA9142

 

5.000% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

31

 

FNMA    POOL #0AA9154

 

4.500% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

25

 

FNMA    POOL #0AA9186

 

5.000% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

28

 

FNMA    POOL #0AA9294

 

5.000% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

29

 

FNMA    POOL #0AA9296

 

5.000% 06/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

37

 

FNMA    POOL #0AA9386

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

101

 

FNMA    POOL #0AA9391

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

98

 

FNMA    POOL #0AA9794

 

5.000% 07/01/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

51

 

FNMA    POOL #0AC0719

 

4.500% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

28

 

FNMA    POOL #0AC0769

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

70

 

FNMA    POOL #0AC2141

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

55

 

FNMA    POOL #0AC2142

 

5.000% 07/01/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

41

 

FNMA    POOL #0AC2861

 

4.500% 08/01/2039 DD 08/01/09

 

U. S. GOVERNMENT SECURITIES

 

49

 

FNMA    POOL #0AC2890

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

24

 

FNMA    POOL #0AC2953

 

4.500% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

994

 

FNMA    POOL #0AC2982

 

4.500% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

990

 

FNMA    POOL #0AC3032

 

5.000% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

613

 

FNMA    POOL #0AC3128

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

116

 

FNMA    POOL #0AC3157

 

5.000% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

80

 

FNMA    POOL #0AC3165

 

5.000% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

80

 

FNMA    POOL #0AC3235

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

101

 

FNMA    POOL #0AC3247

 

4.500% 10/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

394

 

FNMA    POOL #0AC3304

 

5.000% 10/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

102

 

FNMA    POOL #0AC3311

 

4.500% 10/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

99

 

FNMA    POOL #0AC3316

 

5.000% 10/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

142

 

FNMA    POOL #0AC3658

 

4.500% 10/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

99

 

FNMA    POOL #0AC3662

 

5.000% 10/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

585

 

FNMA    POOL #0AC4328

 

5.000% 09/01/2039 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

26

 

FNMA    POOL #0AC4914

 

4.500% 12/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

77

 

FNMA    POOL #0AC4915

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

81

 

FNMA    POOL #0AC5118

 

5.000% 11/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

307

 

FNMA    POOL #0AC5400

 

4.500% 10/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

993

 

FNMA    POOL #0AC5462

 

5.000% 11/01/2039 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

413

 

 

S - 12



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

FNMA    POOL #0AC6109

 

4.500% 11/01/2024 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

98

 

FNMA    POOL #0AC6135

 

4.500% 11/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

100

 

FNMA    POOL #0AC6141

 

5.000% 11/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

205

 

FNMA    POOL #0AC6142

 

5.000% 11/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

205

 

FNMA    POOL #0AC6259

 

4.500% 12/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

169

 

FNMA    POOL #0AC6600

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

107

 

FNMA    POOL #0AC6609

 

4.500% 11/01/2039 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

100

 

FNMA    POOL #0AC6614

 

5.000% 11/01/2039 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

103

 

FNMA    POOL #0AC6615

 

5.000% 11/01/2039 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

103

 

FNMA    POOL #0AC7275

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

88

 

FNMA    POOL #0AC7276

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

49

 

FNMA    POOL #0AC7278

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

152

 

FNMA    POOL #0AC7279

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

76

 

FNMA    POOL #0AC7328

 

4.000% 12/01/2039 DD 12/01/09

 

U. S. GOVERNMENT SECURITIES

 

3,866

 

FNMA    POOL #0AC7642

 

4.500% 11/01/2024 DD 11/01/09

 

U. S. GOVERNMENT SECURITIES

 

208

 

FNMA    POOL #0AD0248

 

5.500% 11/01/2037 DD 09/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,995

 

FNMA    POOL #0MA0229

 

4.500% 11/01/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

993

 

FNMA GTD REMIC P/T

 

10.000% 09/25/2016 DD 08/01/01

 

U. S. GOVERNMENT SECURITIES

 

58

 

FNMA GTD REMIC P/T

 

VAR RT  02/25/2018 DD 05/01/88

 

U. S. GOVERNMENT SECURITIES

 

109

 

FNMA GTD REMIC P/T 04-M1 A PO

 

4.700% 06/25/2013 DD 05/01/04

 

U. S. GOVERNMENT SECURITIES

 

209

 

FNMA GTD REMIC P/T 07-36 CL AB

 

5.000% 11/25/2021 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

2,007

 

FNMA GTD REMIC P/T 07-4 DF

 

VAR RT  02/25/2037 DD 01/25/07

 

U. S. GOVERNMENT SECURITIES

 

1,890

 

FNMA GTD REMIC P/T 08-22 FD

 

VAR RT  04/25/2048 DD 03/25/08

 

U. S. GOVERNMENT SECURITIES

 

1,987

 

FNMA GTD REMIC P/T 2002-34 FE

 

VAR RT  05/18/2032 DD 04/18/02

 

U. S. GOVERNMENT SECURITIES

 

37

 

FNMA GTD REMIC P/T 2002-T6 A1

 

3.310% 03/25/2032 DD 03/01/02

 

U. S. GOVERNMENT SECURITIES

 

170

 

FNMA GTD REMIC P/T CTF 99W4 A9

 

6.250% 02/25/2029

 

U. S. GOVERNMENT SECURITIES

 

2,228

 

FNMA GTD REMIC P/T CTF91-24Z

 

5.000% 03/25/2021

 

U. S. GOVERNMENT SECURITIES

 

130

 

FNMA GTD REMIC P/T CTF93-19N

 

5.000% 02/25/2023

 

U. S. GOVERNMENT SECURITIES

 

119

 

FORD CR AUTO OWNER 08 A A-3A

 

3.960% 04/15/2012 DD 01/23/08

 

CORPORATE DEBT INSTRUMENTS

 

1,505

 

FORD CR AUTO OWNER 2009-A A2B

 

VAR RT  08/15/2011 DD 03/25/09

 

CORPORATE DEBT INSTRUMENTS

 

1,568

 

FORD CR AUTO OWNER TR 06-A D

 

7.210% 08/15/2012 DD 02/22/06

 

CORPORATE DEBT INSTRUMENTS

 

1,196

 

FORDO 2009-B A2

 

2.100% 11/15/2011 DD 06/09/09

 

CORPORATE DEBT INSTRUMENTS

 

1,706

 

FORDO 2009-D A1

 

0.357% 09/15/2010 DD 09/11/09

 

CORPORATE DEBT INSTRUMENTS

 

215

 

FORTUNE BRANDS INC

 

3.000% 06/01/2012 DD 11/23/09

 

CORPORATE DEBT INSTRUMENTS

 

1,288

 

FRANCE TELECOM SA NT

 

VAR RT  03/01/2011 DD 09/01/01

 

CORPORATE DEBT INSTRUMENTS

 

723

 

GCCFC 2006-GG7 A4

 

VAR RT  07/10/2038 DD 07/01/06

 

CORPORATE DEBT INSTRUMENTS

 

1,436

 

GCCFC 2007-GG9 A4

 

5.444% 03/10/2039 DD 03/01/07

 

CORPORATE DEBT INSTRUMENTS

 

923

 

GE CAP COML MTG 02 2 CL A3

 

5.349% 08/11/2036 DD 08/01/02

 

CORPORATE DEBT INSTRUMENTS

 

1,391

 

GE COML MTG CORP 05-C4 A4

 

5.333% 11/10/2045 DD 12/01/05

 

CORPORATE DEBT INSTRUMENTS

 

1,953

 

GE COML MTG CORP SER 07 C1 TR

 

5.417% 12/10/2049 DD 05/01/07

 

CORPORATE DEBT INSTRUMENTS

 

1,621

 

GENERAL ELEC CAP CORP

 

2.000% 09/28/2012 DD 07/28/09

 

U. S. GOVERNMENT SECURITIES

 

3,605

 

GENERAL ELEC CAP CORP MEDIUM

 

VAR RT  02/01/2011 DD 02/01/08

 

CORPORATE DEBT INSTRUMENTS

 

900

 

GENERAL ELEC CAP CORP MEDIUM

 

4.800% 05/01/2013 DD 04/21/08

 

CORPORATE DEBT INSTRUMENTS

 

5,226

 

GENERAL ELEC CAP CORP MTN

 

1.800% 03/11/2011 DD 03/12/09

 

U. S. GOVERNMENT SECURITIES

 

2,710

 

GENERAL ELEC CAP CORP MTN

 

2.250% 03/12/2012 DD 03/12/09

 

U. S. GOVERNMENT SECURITIES

 

4,753

 

GENERAL ELEC CAP CORP MTN 0081

 

6.875% 01/10/2039 DD 01/09/09

 

CORPORATE DEBT INSTRUMENTS

 

1,549

 

GENERAL ELEC CAP MTN #TR 00004

 

3.000% 12/09/2011 DD 12/09/08

 

U. S. GOVERNMENT SECURITIES

 

2,371

 

GENERAL ELEC CAP MTN #TR00656

 

VAR RT  09/15/2014 DD 09/17/04

 

CORPORATE DEBT INSTRUMENTS

 

693

 

GENERAL ELECTRIC CAP CORP

 

VAR RT 17-DEC-2013 USD

 

CORPORATE DEBT INSTRUMENTS

 

794

 

GENERAL ELECTRIC CAPITAL CORP

 

2.625% 12/28/2012 DD 06/18/09

 

U. S. GOVERNMENT SECURITIES

 

2,521

 

GENERAL ELECTRIC CAPITAL CORP

 

2.625% 12/28/2012 DD 06/18/09

 

U. S. GOVERNMENT SECURITIES

 

5,601

 

GENERAL MLS INC NT

 

5.250% 08/15/2013 DD 08/05/08

 

CORPORATE DEBT INSTRUMENTS

 

1,100

 

GLAXOSMITHKLINE CAP INC GTD NT

 

4.850% 05/15/2013 DD 05/13/08

 

CORPORATE DEBT INSTRUMENTS

 

537

 

GMAC COML MTG 02 C3 CL A2

 

4.930% 07/10/2039 DD 12/01/02

 

CORPORATE DEBT INSTRUMENTS

 

1,449

 

GMAC COML MTG SEC 02-C1 CL A2

 

6.278% 11/15/2039 DD 02/01/02

 

CORPORATE DEBT INSTRUMENTS

 

2,102

 

GMAC COML MTG SECS 03-C3 A-3

 

4.646% 04/10/2040 DD 12/01/03

 

CORPORATE DEBT INSTRUMENTS

 

1,223

 

GMAC LLC

 

1.750% 10/30/2012 DD 10/30/09

 

U. S. GOVERNMENT SECURITIES

 

3,477

 

GMACM 2004-AR1 12A

 

VAR RT  06/25/2034 DD 04/01/04

 

CORPORATE DEBT INSTRUMENTS

 

186

 

GNMA    POOL #0424340

 

6.500% 05/15/2026 DD 05/01/96

 

U. S. GOVERNMENT SECURITIES

 

19

 

GNMA    POOL #0487712

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

91

 

GNMA    POOL #0487754

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

134

 

GNMA    POOL #0487763

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

131

 

GNMA    POOL #0487797

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

36

 

GNMA    POOL #0487798

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

42

 

GNMA    POOL #0498396

 

6.000% 02/15/2029 DD 02/01/99

 

U. S. GOVERNMENT SECURITIES

 

48

 

GNMA    POOL #0513834

 

6.500% 08/15/2029 DD 08/01/99

 

U. S. GOVERNMENT SECURITIES

 

36

 

GNMA    POOL #0520046

 

7.000% 06/15/2031 DD 06/01/01

 

U. S. GOVERNMENT SECURITIES

 

12

 

GNMA    POOL #0604791

 

5.500% 11/15/2033 DD 11/01/03

 

U. S. GOVERNMENT SECURITIES

 

219

 

GNMA    POOL #0608945

 

6.000% 06/15/2036 DD 06/01/06

 

U. S. GOVERNMENT SECURITIES

 

422

 

GNMA    POOL #0619220

 

6.000% 10/15/2034 DD 10/01/04

 

U. S. GOVERNMENT SECURITIES

 

861

 

GNMA    POOL #0620925

 

4.500% 08/15/2033 DD 08/01/03

 

U. S. GOVERNMENT SECURITIES

 

34

 

GNMA    POOL #0631356

 

6.000% 10/15/2035 DD 10/01/05

 

U. S. GOVERNMENT SECURITIES

 

9

 

GNMA    POOL #0658325

 

6.000% 03/15/2037 DD 03/01/07

 

U. S. GOVERNMENT SECURITIES

 

25

 

GNMA    POOL #0659942

 

6.000% 11/15/2037 DD 11/01/07

 

U. S. GOVERNMENT SECURITIES

 

167

 

GNMA    POOL #0664387

 

6.000% 10/15/2037 DD 10/01/07

 

U. S. GOVERNMENT SECURITIES

 

220

 

GNMA    POOL #0667834

 

6.000% 05/15/2037 DD 05/01/07

 

U. S. GOVERNMENT SECURITIES

 

44

 

GNMA    POOL #0676974

 

5.500% 05/15/2038 DD 05/01/08

 

U. S. GOVERNMENT SECURITIES

 

505

 

GNMA    POOL #0677322

 

6.000% 09/15/2038 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

272

 

GNMA    POOL #0697908

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

415

 

GNMA    POOL #0697925

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,135

 

GNMA    POOL #0698030

 

5.500% 01/15/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

690

 

GNMA    POOL #0698197

 

5.000% 06/15/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

59

 

GNMA    POOL #0698210

 

5.000% 06/15/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

72

 

GNMA    POOL #0698214

 

5.000% 06/15/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

158

 

GNMA    POOL #0699113

 

6.000% 09/15/2038 DD 09/01/08

 

U. S. GOVERNMENT SECURITIES

 

909

 

GNMA    POOL #0701582

 

5.500% 01/15/2039 DD 01/01/09

 

U. S. GOVERNMENT SECURITIES

 

201

 

GNMA    POOL #0701667

 

5.500% 02/15/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

168

 

GNMA    POOL #0701668

 

5.500% 02/15/2039 DD 02/01/09

 

U. S. GOVERNMENT SECURITIES

 

41

 

GNMA    POOL #0701818

 

5.000% 04/15/2039 DD 04/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,011

 

GNMA    POOL #0704433

 

5.500% 03/15/2039 DD 03/01/09

 

U. S. GOVERNMENT SECURITIES

 

272

 

GNMA    POOL #0710915

 

4.500% 10/15/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

100

 

GNMA    POOL #0710922

 

5.000% 10/15/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

411

 

GNMA    POOL #0710923

 

5.000% 10/15/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,028

 

GNMA    POOL #0717087

 

5.000% 05/15/2039 DD 05/01/09

 

U. S. GOVERNMENT SECURITIES

 

85

 

GNMA    POOL #0720055

 

4.500% 06/15/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,093

 

GNMA    POOL #0720063

 

5.000% 06/15/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

30

 

GNMA    POOL #0720070

 

4.500% 06/15/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

792

 

GNMA    POOL #0720103

 

4.500% 06/15/2039 DD 06/01/09

 

U. S. GOVERNMENT SECURITIES

 

890

 

GNMA    POOL #0720235

 

5.000% 07/15/2039 DD 07/01/09

 

U. S. GOVERNMENT SECURITIES

 

1,017

 

GNMA    POOL #0723220

 

5.000% 10/15/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

103

 

GNMA    POOL #0723248

 

5.000% 10/15/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

103

 

GNMA    POOL #0726381

 

5.000% 10/15/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

205

 

GNMA    POOL #0726382

 

5.000% 10/15/2039 DD 10/01/09

 

U. S. GOVERNMENT SECURITIES

 

307

 

GNMA    POOL #0780994

 

6.000% 03/15/2029 DD 03/01/99

 

U. S. GOVERNMENT SECURITIES

 

4

 

GNMA    POOL #0782119

 

6.000% 08/15/2036 DD 10/01/06

 

U. S. GOVERNMENT SECURITIES

 

1,899

 

GNMA    POOL #0782515

 

6.000% 12/15/2038 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

195

 

GNMA    POOL #0782516

 

6.000% 12/15/2038 DD 12/01/08

 

U. S. GOVERNMENT SECURITIES

 

176

 

GNMA GTD REMIC P/T 20020-31 FW

 

VAR RT  06/16/2031 DD 05/16/02

 

U. S. GOVERNMENT SECURITIES

 

83

 

GNMA GTD REMIC P/T 2002-21 FV

 

FLTG RT 03/16/2032 DD 03/16/02

 

U. S. GOVERNMENT SECURITIES

 

151

 

GNMA II POOL #0003056

 

8.000% 03/20/2031 DD 03/01/01

 

U. S. GOVERNMENT SECURITIES

 

20

 

GNMA II POOL #0003123

 

VAR RT  08/20/2031 DD 08/01/01

 

U. S. GOVERNMENT SECURITIES

 

10

 

GNMA II POOL #0003136

 

VAR RT  09/20/2031 DD 09/01/01

 

U. S. GOVERNMENT SECURITIES

 

2

 

GNMA II POOL #0008324

 

VAR RT  11/20/2023 DD 11/01/93

 

U. S. GOVERNMENT SECURITIES

 

16

 

GNMA II POOL #0008814

 

VAR RT 02/20/2026 DD 02/01/96

 

U. S. GOVERNMENT SECURITIES

 

7

 

GNMA II POOL #0008847

 

VAR RT  04/20/2026 DD 04/01/96

 

U. S. GOVERNMENT SECURITIES

 

24

 

GOLDMAN SACHS GROUP INC

 

3.625% 08/01/2012 DD 07/22/09

 

CORPORATE DEBT INSTRUMENTS

 

458

 

GOLDMAN SACHS GROUP INC

 

6.000% 05/01/2014 DD 05/06/09

 

CORPORATE DEBT INSTRUMENTS

 

1,252

 

 

S - 13



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

GOLDMAN SACHS GROUP INC FDIC

 

1.625% 07/15/2011 DD 01/21/09

 

U. S. GOVERNMENT SECURITIES

 

893

 

GOLDMAN SACHS GROUP INC SR

 

5.950% 01/18/2018 DD 01/18/08

 

CORPORATE DEBT INSTRUMENTS

 

106

 

GOLDMAN SACHS GROUP INC SR NT

 

5.450% 11/01/2012 DD 10/18/07

 

CORPORATE DEBT INSTRUMENTS

 

1,075

 

GOLDMAN SACHS GROUP INC SR NT

 

6.250% 09/01/2017 DD 08/30/07

 

CORPORATE DEBT INSTRUMENTS

 

2,038

 

GS MTG SECS CORP 2005-AR6 2A1

 

VAR RT  09/25/2035 DD 09/01/05

 

CORPORATE DEBT INSTRUMENTS

 

485

 

GSR MTG LN TR 2006 OA1 P/T 2A1

 

VAR RT  08/25/2046 DD 08/24/06

 

CORPORATE DEBT INSTRUMENTS

 

382

 

GULF SOUTH PIPLINE CO LP 144A

 

6.300% 08/15/2017 DD 08/17/07

 

CORPORATE DEBT INSTRUMENTS

 

260

 

HALLIBURTON CO SR NT

 

5.500% 10/15/2010 DD 10/17/03

 

CORPORATE DEBT INSTRUMENTS

 

286

 

HANCOCK JOHN II MTN 00001 144A

 

7.900% 07/02/2010 DD 06/30/00

 

CORPORATE DEBT INSTRUMENTS

 

309

 

HARVORVIEW MTG LN TR 05-8 1A2A

 

VAR RT  09/19/2035 DD 07/29/05

 

CORPORATE DEBT INSTRUMENTS

 

41

 

HBOS PLC MTN #SB 00007 144A

 

VAR RT 11/29/2049 DD 10/30/03

 

CORPORATE DEBT INSTRUMENTS

 

405

 

HEINZ H J FIN CO GTD NT

 

STEP 03/15/2012

 

CORPORATE DEBT INSTRUMENTS

 

751

 

HEINZ H J FIN CO GTD NT

 

STEP 07/15/2011 DD 01/15/03

 

CORPORATE DEBT INSTRUMENTS

 

864

 

HEWLETT PACKARD CO GLOBAL NT

 

4.500% 03/01/2013 DD 03/03/08

 

CORPORATE DEBT INSTRUMENTS

 

2,438

 

HONDA AUTO REC 07-1 CL A3

 

5.100% 03/18/2011 DD 02/27/07

 

CORPORATE DEBT INSTRUMENTS

 

480

 

HOUSEHOLD FIN CORP NT

 

6.375% 10/15/2011 DD 10/23/01

 

CORPORATE DEBT INSTRUMENTS

 

2,127

 

HSBC CAP FDG DLR 2 LP 144A

 

VAR RT 12/29/2049 DD 06/27/03

 

CORPORATE DEBT INSTRUMENTS

 

598

 

HSBC FIN CORP NT

 

5.700% 06/01/2011 DD 05/30/06

 

CORPORATE DEBT INSTRUMENTS

 

366

 

HSBC HOME EQTY 07 3 CL A-PT

 

VAR RT  11/20/2036 DD 10/18/07

 

CORPORATE DEBT INSTRUMENTS

 

754

 

HSBC USA INC GTD NTS

 

3.125% 12/16/2011 DD 12/16/08

 

U. S. GOVERNMENT SECURITIES

 

2,380

 

IBERDROLA FIN IRELAND

 

3.800% 09/11/2014 DD 09/11/09

 

CORPORATE DEBT INSTRUMENTS

 

794

 

IBM CORP

 

2.100% 05/06/2013 DD 11/06/09

 

CORPORATE DEBT INSTRUMENTS

 

1,547

 

IFC SBA LN BACKED 97-1 A 144A

 

VAR RT 01/15/2024 DD 11/25/97

 

CORPORATE DEBT INSTRUMENTS

 

114

 

ING BK N V NTHE ST CR GTEE

 

2.625% 02/09/2012 DD 02/09/09

 

CORPORATE DEBT INSTRUMENTS

 

2,350

 

INGERSOLL-RAND GLOBAL HLDG CO

 

6.000% 08/15/2013 DD 08/15/08

 

CORPORATE DEBT INSTRUMENTS

 

1,215

 

INTERNATIONAL BUSINESS MACHS

 

VAR RT  07/28/2011 DD 07/28/08

 

CORPORATE DEBT INSTRUMENTS

 

2,522

 

INTERNATIONAL LEASE FIN CORP

 

4.950% 02/01/2011 DD 01/29/08

 

CORPORATE DEBT INSTRUMENTS

 

255

 

INTERNATIONAL LEASE FIN CORP

 

6.625% 11/15/2013 DD 05/27/08

 

CORPORATE DEBT INSTRUMENTS

 

1,288

 

INTERNATIONAL LEASE MTN #00577

 

5.750% 06/15/2011 DD 06/13/06

 

CORPORATE DEBT INSTRUMENTS

 

827

 

IRS P US0003M  R 2.605%

 

2014 DEC 09

 

OTHER INVESTMENTS

 

(91

)

IRS P US0003M R 1.365%

 

2011 OCT 21

 

OTHER INVESTMENTS

 

64

 

IRS P US0003M R 2.73% 12/21/21

 

PUT DEC 11 002.730 ED 12/19/11

 

OTHER INVESTMENTS

 

(13

)

IRS P US0003M R 3.32% 03/16/20

 

PUT MAR 10 003.320 ED 03/12/10

 

OTHER INVESTMENTS

 

(4

)

IRS P US0003M R 4.15% 07/07/20

 

PUT JUL 10 004.150 ED 07/02/10

 

OTHER INVESTMENTS

 

(424

)

IRS P US0003M R 4.82% 12/02/24

 

PUT DEC 14 004.820 ED 12/02/14

 

OTHER INVESTMENTS

 

(218

)

IRS P US0003M R 4.89% 12/05/24

 

PUT DEC 14 004.890 ED 12/03/14

 

OTHER INVESTMENTS

 

(66

)

IRS P US0003M R 4.95% 12/10/24

 

PUT DEC 24 004.950 ED 12/10/24

 

OTHER INVESTMENTS

 

(181

)

IRS R US0003M P 2.46%

 

2014 NOV 23

 

OTHER INVESTMENTS

 

73

 

IRS R US0003M P 2.73% 12/21/21

 

CALL DEC 11 002.730 ED 121911

 

OTHER INVESTMENTS

 

(325

)

IRS R US0003M P 3.32% 03/16/20

 

CALL MAR 10 003.320 ED 3/12/10

 

OTHER INVESTMENTS

 

(258

)

IRS R US0003M P 3.50%

 

2019 DEC 07

 

OTHER INVESTMENTS

 

162

 

IRS R US0003M P 4.15% 07/07/20

 

CALL JUL 10 004.150 ED 7/02/10

 

OTHER INVESTMENTS

 

(327

)

IRS R US0003M P 4.89% 12/05/24

 

CALL DEC 14 004.890 ED 120314

 

OTHER INVESTMENTS

 

(101

)

IRS_P US0003M R 2%

 

06 JUL 2012

 

OTHER INVESTMENTS

 

74

 

IRS_P US0003M R 3.67% 06/04/20

 

CALL JUN 10 003.670 ED 6/02/10

 

OTHER INVESTMENTS

 

450

 

IRS_P US0003M R 4.55%

 

2010 OCT 03

 

OTHER INVESTMENTS

 

98

 

IRS_P US0003M R 5.15%

 

2010 NOV 07

 

OTHER INVESTMENTS

 

424

 

IRS_R US0003M P 3.67% 06/04/20

 

PUT JUN 10 003.670 ED 06/02/10

 

OTHER INVESTMENTS

 

81

 

IRS_R US0003M P 4.58%

 

2019 MAY 6

 

OTHER INVESTMENTS

 

(218

)

IRS_R US0003M P 4.82% 12/02/24

 

CALL DEC 14 004.820 ED 120214

 

OTHER INVESTMENTS

 

(365

)

IRS_R US0003M P 4.95% 12/10/24

 

CALL DEC 24 004.950 ED 121024

 

OTHER INVESTMENTS

 

(124

)

J P MORGAN CHASE COML MTG SECS

 

5.050% 12/12/2034 DD 12/01/02

 

CORPORATE DEBT INSTRUMENTS

 

2,184

 

J P MORGAN MTG 07-A1 CL 1A1

 

VAR RT  07/25/2035 DD 01/01/07

 

CORPORATE DEBT INSTRUMENTS

 

506

 

J P MORGAN MTG 07-A1 CL 5A2

 

VAR RT  07/25/2035 DD 01/01/07

 

CORPORATE DEBT INSTRUMENTS

 

499

 

JAPAN FINANCE CORP

 

2.000% 06/24/2011 DD 06/24/09

 

CORPORATE DEBT INSTRUMENTS

 

1,139

 

JOHN DEERE CAP CORP MTN

 

4.500% 04/03/2013 DD 04/03/08

 

CORPORATE DEBT INSTRUMENTS

 

1,207

 

JP MORGAN CHASE BK N A NEW

 

6.000% 07/05/2017 DD 06/27/07

 

CORPORATE DEBT INSTRUMENTS

 

583

 

JP MORGAN CHASE NK NA NEW YORK

 

6.000% 10/01/2017 DD 09/24/07

 

CORPORATE DEBT INSTRUMENTS

 

803

 

JPMORGAN CHASE & CO

 

3.700% 01/20/2015 DD 09/18/09

 

CORPORATE DEBT INSTRUMENTS

 

928

 

JPMORGAN CHASE & CO FDIC NT

 

2.200% 06/15/2012 DD 02/23/09

 

U. S. GOVERNMENT SECURITIES

 

2,053

 

JPMORGAN CHASE & CO NT

 

5.375% 10/01/2012 DD 10/01/07

 

CORPORATE DEBT INSTRUMENTS

 

1,082

 

JPMORGAN CHASE & CO NT

 

4.750% 05/01/2013 DD 04/28/08

 

CORPORATE DEBT INSTRUMENTS

 

1,219

 

JPMORGAN CHASE & CO SR NT

 

6.000% 01/15/2018 DD 12/20/07

 

CORPORATE DEBT INSTRUMENTS

 

1,102

 

JPMORGAN CHASE BK N A NY

 

VAR RT 006/13/2016 DD 06/13/06

 

CORPORATE DEBT INSTRUMENTS

 

1,459

 

KERN RIV FDG CORP SR NT 144A

 

4.893% 04/30/2018 DD 05/01/03

 

CORPORATE DEBT INSTRUMENTS

 

202

 

KEYCORP MEDIUM TERM SR NTS

 

6.500% 05/14/2013 DD 05/14/08

 

CORPORATE DEBT INSTRUMENTS

 

1,032

 

KFW

 

2.750% 10/21/2014 DD 10/21/09

 

CORPORATE DEBT INSTRUMENTS

 

1,829

 

KING CNTY WASH

 

4.750% 01/01/2034 DD 02/12/08

 

OTHER INVESTMENTS

 

409

 

KRAFT FOOD INC BD

 

6.000% 02/11/2013 DD 08/13/07

 

CORPORATE DEBT INSTRUMENTS

 

332

 

KRAFT FOOD INC BD

 

6.000% 02/11/2013 DD 08/13/07

 

CORPORATE DEBT INSTRUMENTS

 

1,823

 

KRAFT FOODS INC NT

 

6.500% 08/11/2017 DD 08/13/07

 

CORPORATE DEBT INSTRUMENTS

 

380

 

KRAFT FOODS INC NT

 

6.125% 02/01/2018 DD 12/12/07

 

CORPORATE DEBT INSTRUMENTS

 

473

 

KREDITANSTALT FUR WIEDERAUFBAU

 

3.500% 03/10/2014 DD 03/10/09

 

CORPORATE DEBT INSTRUMENTS

 

2,518

 

KROGER CO SR NT

 

5.000% 04/15/2013 DD 03/27/08

 

CORPORATE DEBT INSTRUMENTS

 

846

 

LANDWIRTSCHAFTLICHE RENTENBANK

 

4.125% 07/15/2013 DD 06/05/08

 

CORPORATE DEBT INSTRUMENTS

 

2,320

 

LAS VEGAS VY NEV WTR DIST

 

5.000% 02/01/2034 DD 02/19/08

 

OTHER INVESTMENTS

 

404

 

LB UBS COML 05-C5 CTF A-4

 

4.954% 09/15/2030 DD 08/11/05

 

CORPORATE DEBT INSTRUMENTS

 

969

 

LB UBS COML MTG 03-C7 A-3

 

VAR RT  09/15/2027 DD 09/11/03

 

CORPORATE DEBT INSTRUMENTS

 

1,027

 

LB UBS COML MTG 2006-C6 A-4

 

5.372% 09/15/2039 DD 09/11/06

 

CORPORATE DEBT INSTRUMENTS

 

567

 

LB UBS COML MTG TR 00-C4 CL A2

 

7.370% 08/15/2026 DD 09/11/00

 

CORPORATE DEBT INSTRUMENTS

 

882

 

LB UBS COML MTG TR 02 C2 CL A4

 

5.594% 06/15/2031 DD 06/11/02

 

CORPORATE DEBT INSTRUMENTS

 

1,334

 

LB UBS COML MTG TR 04-C4 A3

 

VAR RT  06/15/2029 DD 05/11/04

 

CORPORATE DEBT INSTRUMENTS

 

1,244

 

LB UBS COML MTG TR 05-C1 CL A3

 

4.545% 02/15/2030 DD 01/11/05

 

CORPORATE DEBT INSTRUMENTS

 

1,255

 

LB UBS COML MTG TR 05-C2 A-2

 

4.821% 04/15/2030 DD 04/11/05

 

CORPORATE DEBT INSTRUMENTS

 

1,264

 

LB UBS COML MTG TR 05-C7 CL A4

 

5.197% 11/15/2030 DD 10/11/05

 

CORPORATE DEBT INSTRUMENTS

 

983

 

LEASEPLAN CORPORATION NV

 

3.000% 05/07/2012 DD 05/07/09

 

CORPORATE DEBT INSTRUMENTS

 

1,024

 

LEASEPLAN CORPORATION NV

 

3.000% 05/07/2012 DD 05/07/09

 

CORPORATE DEBT INSTRUMENTS

 

1,638

 

LEASEPLAN CORPORATION NV

 

3.000% 05/07/2012 DD 05/07/09

 

CORPORATE DEBT INSTRUMENTS

 

2,150

 

LEHMAN BROS HLDGS INC MEDIUM

 

6.875% 05/02/2018 DD 04/24/08

 

CORPORATE DEBT INSTRUMENTS

 

332

 

LEHMAN BROS HLDGS INC MTN

 

5.625% 01/24/2013 DD 01/22/08

 

CORPORATE DEBT INSTRUMENTS

 

123

 

LELAND STANFORD JUNIOR UNIVERS

 

3.625% 05/01/2014 DD 04/29/09

 

CORPORATE DEBT INSTRUMENTS

 

540

 

MALT 2005-2 2A1

 

6.000% 01/25/2035 DD 02/01/05

 

CORPORATE DEBT INSTRUMENTS

 

1,132

 

MASTR ADJ RATE MTGS 02 3 B2

 

VAR RT  10/25/2032 DD 08/01/02

 

CORPORATE DEBT INSTRUMENTS

 

28

 

MERRILL LYNCH & CO INC MEDIUM

 

6.875% 04/25/2018 DD 04/25/08

 

CORPORATE DEBT INSTRUMENTS

 

350

 

MERRILL LYNCH & CO INC MEDIUM

 

5.450% 02/05/2013 DD 02/05/08

 

CORPORATE DEBT INSTRUMENTS

 

474

 

MERRILL LYNCH & CO INC MEDIUM

 

5.450% 02/05/2013 DD 02/05/08

 

CORPORATE DEBT INSTRUMENTS

 

842

 

MERRILL LYNCH & CO INC MTN

 

6.400% 08/28/2017 DD 08/28/07

 

CORPORATE DEBT INSTRUMENTS

 

210

 

MERRILL LYNCH & CO INC MTN

 

6.400% 08/28/2017 DD 08/28/07

 

CORPORATE DEBT INSTRUMENTS

 

316

 

MERRILL LYNCH & CO INC SUB NT

 

6.050% 05/16/2016 DD 05/16/06

 

CORPORATE DEBT INSTRUMENTS

 

1,059

 

MERRILL LYNCH MTG 05-3 CL 5-A

 

VAR RT  11/25/2035 DD 10/31/05

 

CORPORATE DEBT INSTRUMENTS

 

325

 

MET LIFE GLOB FUNDING I

 

5.125% 06/10/2014 DD 06/10/09

 

CORPORATE DEBT INSTRUMENTS

 

476

 

METLIFE INC SR DEBT SECS SER B

 

7.717% 02/15/2019 DD 02/15/09

 

CORPORATE DEBT INSTRUMENTS

 

1,058

 

METROPOLITAN LIFE GLOBAL 144A

 

5.125% 04/10/2013 DD 04/10/08

 

CORPORATE DEBT INSTRUMENTS

 

291

 

METROPOLITAN LIFE GLOBAL 144A

 

5.125% 04/10/2013 DD 04/10/08

 

CORPORATE DEBT INSTRUMENTS

 

2,119

 

METROPOLITAN LIFE TR00014 144A

 

VAR RT  03/15/2012 DD 12/15/04

 

CORPORATE DEBT INSTRUMENTS

 

443

 

MID ST TR IV ASST BKD NT

 

8.330% 04/01/2030

 

CORPORATE DEBT INSTRUMENTS

 

605

 

MONUMENTAL GLOBAL FDG 05-C

 

VAR RT  06/16/2010 DD 06/16/05

 

CORPORATE DEBT INSTRUMENTS

 

1,192

 

MORGAN J P & CO INC SUB NT

 

6.250% 02/15/2011 DD 02/15/96

 

CORPORATE DEBT INSTRUMENTS

 

365

 

MORGAN STANLEY

 

7.300% 05/13/2019 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

477

 

MORGAN STANLEY

 

5.625% 09/23/2019 DD 09/23/09

 

CORPORATE DEBT INSTRUMENTS

 

484

 

MORGAN STANLEY

 

4.200% 11/20/2014 DD 11/20/09

 

CORPORATE DEBT INSTRUMENTS

 

490

 

MORGAN STANLEY

 

7.300% 05/13/2019 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

561

 

MORGAN STANLEY

 

6.000% 05/13/2014 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

586

 

MORGAN STANLEY

 

6.000% 05/13/2014 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

1,048

 

MORGAN STANLEY 07-IQ14 CL A-4

 

5.692% 04/15/2049 DD 05/01/07

 

CORPORATE DEBT INSTRUMENTS

 

535

 

MORGAN STANLEY CAP 06-IQ11 A-4

 

VAR RT  10/15/2042 DD 06/01/06

 

CORPORATE DEBT INSTRUMENTS

 

1,979

 

MORGAN STANLEY DW & CO GL NT

 

6.750% 04/15/2011 DD 04/23/01

 

CORPORATE DEBT INSTRUMENTS

 

265

 

 

S - 14



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

MORGAN STANLEY FDIC TLGP GTD

 

2.250% 03/13/2012 DD 03/13/09

 

U. S. GOVERNMENT SECURITIES

 

2,555

 

MORGAN STANLEY GLOBAL MEDIUM

 

6.625% 04/01/2018 DD 04/01/08

 

CORPORATE DEBT INSTRUMENTS

 

1,081

 

MORGAN STANLEY GLOBAL MTN

 

6.250% 08/28/2017 DD 08/28/07

 

CORPORATE DEBT INSTRUMENTS

 

783

 

MORGAN STANLEY NT

 

VAR RT  01/09/2014 DD 01/09/07

 

CORPORATE DEBT INSTRUMENTS

 

286

 

MORGAN STANLEY NT

 

5.050% 01/21/2011 DD 10/21/05

 

CORPORATE DEBT INSTRUMENTS

 

1,245

 

MORGAN STANLEY SR GBL MTN F

 

VAR RT  01/09/2012 DD 08/09/06

 

CORPORATE DEBT INSTRUMENTS

 

2,175

 

MORGAN STANLEY SR NT

 

6.000% 04/28/2015 DD 04/28/08

 

CORPORATE DEBT INSTRUMENTS

 

1,065

 

MORGEN JP COML MTG 00-C10 A2

 

7.371% 08/15/2032 DD 09/01/00

 

CORPORATE DEBT INSTRUMENTS

 

374

 

MUFG CAP FIN 1 LTD USD

 

VAR RT  07/29/2049 DD 03/17/06

 

CORPORATE DEBT INSTRUMENTS

 

478

 

NATIONAL AUSTRALIA 144A 00013

 

VAR RT  02/08/2010 DD 02/08/08

 

CORPORATE DEBT INSTRUMENTS

 

1,300

 

NATIONAL AUSTRALIA BANK 144A

 

2.350% 11/16/2012 DD 11/16/09

 

CORPORATE DEBT INSTRUMENTS

 

1,242

 

NATIONAL AUSTRALIA BK SER A

 

8.600% 05/19/2010 DD 05/19/00

 

CORPORATE DEBT INSTRUMENTS

 

515

 

NATIONAL CITY BK CLEVELAND

 

VAR RT  06/18/2010 DD 04/19/05

 

CORPORATE DEBT INSTRUMENTS

 

599

 

NEW YORK LIFE MTN 144A

 

5.250% 10/16/2012 DD 10/16/07

 

CORPORATE DEBT INSTRUMENTS

 

1,389

 

NEWS AMER HLDGS INC DEB

 

8.500% 02/23/2025 DD 02/23/95

 

CORPORATE DEBT INSTRUMENTS

 

177

 

NEWS AMER HLDGS INC SHELF 9

 

9.500% 07/15/2024 DD 07/15/94

 

CORPORATE DEBT INSTRUMENTS

 

155

 

NISOURCE FIN CORP SR NT

 

6.150% 03/01/2013 DD 02/19/03

 

CORPORATE DEBT INSTRUMENTS

 

303

 

NISSAN AUTO REC 08-B CL A-2

 

3.800% 10/15/2010 DD 06/19/08

 

CORPORATE DEBT INSTRUMENTS

 

124

 

ONTARIO (PROVINCE OF)

 

1.875% 11/19/2012 DD 11/19/09

 

OTHER INVESTMENTS

 

2,896

 

ONTARIO PROVINCE OF

 

4.100% 06/16/2014 DD 06/16/09

 

OTHER INVESTMENTS

 

2,739

 

ORACLE CORP NT

 

4.950% 04/15/2013 DD 04/09/08

 

CORPORATE DEBT INSTRUMENTS

 

2,039

 

ORACLE CORP/OZARK HLDG INC NT

 

5.000% 01/15/2011 DD 01/13/06

 

CORPORATE DEBT INSTRUMENTS

 

962

 

PERTO-CDA SR NT

 

6.050% 05/15/2018 DD 05/15/08

 

CORPORATE DEBT INSTRUMENTS

 

134

 

PETROBRAS INTL FIN CO

 

5.750% 01/20/2020 DD 10/30/09

 

CORPORATE DEBT INSTRUMENTS

 

1,419

 

PETROBRAS INTL FIN CO GLOBAL

 

5.875% 03/01/2018 DD 11/01/07

 

CORPORATE DEBT INSTRUMENTS

 

61

 

PHILIP MORRIS INTL INC NT

 

5.650% 05/16/2018 DD 05/16/08

 

CORPORATE DEBT INSTRUMENTS

 

394

 

PNC BK A PITTSBURGH PA MEDIUM

 

6.000% 12/07/2017 DD 12/07/07

 

CORPORATE DEBT INSTRUMENTS

 

533

 

PORT AUTH N Y & N J

 

5.309% 12/01/2019 DD 07/01/09

 

OTHER INVESTMENTS

 

537

 

PPL ENERGY SUPPLY LLC SR NT

 

6.300% 07/15/2013 DD 07/21/08

 

CORPORATE DEBT INSTRUMENTS

 

797

 

PRICOA GLOBAL FDG I MTN 144A

 

5.400% 10/18/2012 DD 10/18/07

 

CORPORATE DEBT INSTRUMENTS

 

1,304

 

PRINCIPAL LIFE INCOME FUNDINGS

 

5.300% 12/14/2012 DD 12/14/07

 

CORPORATE DEBT INSTRUMENTS

 

848

 

PRIVATE EXPT FDG CORP SECD NT

 

5.450% 09/15/2017 DD 08/16/07

 

CORPORATE DEBT INSTRUMENTS

 

2,784

 

PROJECT FDG I ASSET BKD I 144A

 

VAR RT  01/15/2012 DD 03/05/98

 

CORPORATE DEBT INSTRUMENTS

 

6

 

PRUDENTIAL FINL MTN #TR00022

 

5.800% 06/15/2012 DD 06/19/07

 

CORPORATE DEBT INSTRUMENTS

 

448

 

PYRAMID INTERMEDIATE MANAGED

 

MATURING FUND

 

COMMON/COLLECTIVE TRUST

 

33,150

 

PYRAMID SHORT MANAGED MATURING

 

FUND

 

COMMON/COLLECTIVE TRUST

 

43,628

 

QATAR ST BD 144A

 

6.550% 04/09/2019 DD 04/09/09

 

OTHER INVESTMENTS

 

406

 

QBE INS GROUP LTD SUB FXD 144A

 

VAR RT /07/01/2023 DD 06/17/03

 

CORPORATE DEBT INSTRUMENTS

 

587

 

RABOBANK NEDERLAND

 

4.200% 05/13/2014 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

1,294

 

RABOBANK NEDERLAND

 

2.650% 08/17/2012 DD 08/17/09

 

CORPORATE DEBT INSTRUMENTS

 

2,225

 

REGIONS BK BIRMINGHAM ALA MTN

 

3.250% 12/09/2011 DD 12/11/08

 

U. S. GOVERNMENT SECURITIES

 

2,387

 

REGIONS FINANCIAL CORP

 

7.750% 11/10/2014 DD 11/10/09

 

CORPORATE DEBT INSTRUMENTS

 

888

 

REILLY MTG ASSOC 67TH FHA INSD

 

7.430% 12/31/2039 DD 01/01/83

 

U. S. GOVERNMENT SECURITIES

 

101

 

REILLY MTG ASSOC 91ST FHA PROJ

 

7.430% 07/01/2023 DD 07/01/83

 

U. S. GOVERNMENT SECURITIES

 

77

 

REILLY MTG GRP FHA POOL #64

 

7.430% 01/25/2024 DD 03/01/84

 

CORPORATE DEBT INSTRUMENTS

 

208

 

REINSURANCE GROUP AMER INC

 

5.625% 03/15/2017 DD 03/09/07

 

CORPORATE DEBT INSTRUMENTS

 

989

 

ROCHE HLDGS INC

 

6.000% 03/01/2019 DD 02/25/09

 

CORPORATE DEBT INSTRUMENTS

 

687

 

ROGERS WIRELESS INC SR SECD NT

 

7.250% 12/15/2012 DD 11/30/04

 

CORPORATE DEBT INSTRUMENTS

 

1,127

 

ROYAL BK OF SCOTLAND PLC

 

4.875% 08/25/2014 DD 08/25/09

 

CORPORATE DEBT INSTRUMENTS

 

988

 

ROYAL BK OF SCOTLAND PLC

 

4.875% 08/25/2014 DD 08/25/09

 

CORPORATE DEBT INSTRUMENTS

 

1,140

 

ROYAL BK OF SCOTLAND PLC

 

VAR RT  04/08/2011 DD 05/13/09

 

CORPORATE DEBT INSTRUMENTS

 

2,004

 

ROYAL BK SCOTLAND GRP PLC 144A

 

2.625% 05/11/2012 DD 05/12/09

 

CORPORATE DEBT INSTRUMENTS

 

304

 

ROYAL BK SCOTLAND GRP PLC 144A

 

2.625% 05/11/2012 DD 05/12/09

 

CORPORATE DEBT INSTRUMENTS

 

2,840

 

ROYAL KPN NV NT

 

8.000% 10/01/2010 DD 10/04/00

 

CORPORATE DEBT INSTRUMENTS

 

1,050

 

SABMILLER PLC NT 144A

 

5.700% 01/15/2014 DD 07/17/08

 

CORPORATE DEBT INSTRUMENTS

 

1,242

 

SALOMON BROS MTG 01-C2 CL A 3

 

6.499% 11/13/2036 DD 12/01/01

 

CORPORATE DEBT INSTRUMENTS

 

907

 

SALOMON BROS MTG VII 94-20 A

 

VAR RT 08/01/2024

 

CORPORATE DEBT INSTRUMENTS

 

14

 

SANTANDER ISSUANCES S A 144A

 

VAR RT  06/20/2016 DD 06/20/06

 

CORPORATE DEBT INSTRUMENTS

 

186

 

SATOILHYDRO ASA

 

2.900% 10/15/2014 DD 10/15/09

 

CORPORATE DEBT INSTRUMENTS

 

627

 

SBA GTD PARTN CTFS SBIC 20-10A

 

8.017% 02/10/2010 DD 02/23/00

 

U. S. GOVERNMENT SECURITIES

 

281

 

SBC COMMUNICATIONS INC GBL NT

 

5.875% 02/01/2012 DD 02/01/02

 

CORPORATE DEBT INSTRUMENTS

 

32

 

SCOTTISH PWR PLC NT

 

4.910% 03/15/2010 DD 03/21/05

 

CORPORATE DEBT INSTRUMENTS

 

529

 

SFEF

 

2.250% 06/11/2012 DD 06/11/09

 

CORPORATE DEBT INSTRUMENTS

 

2,416

 

SFEF

 

2.875% 09/22/2014 DD 09/22/09

 

CORPORATE DEBT INSTRUMENTS

 

3,374

 

SHELL INTL FIN B V GTD NT

 

4.000% 03/21/2014 DD 03/23/09

 

CORPORATE DEBT INSTRUMENTS

 

1,200

 

SIEMENS NV 144A

 

5.750% 10/17/2016 DD 08/16/06

 

CORPORATE DEBT INSTRUMENTS

 

647

 

SIERRA PAC PWR CO GEN & REF

 

5.450% 09/01/2013 DD 09/02/08

 

CORPORATE DEBT INSTRUMENTS

 

1,024

 

SLM CORP MTN # TR 00104

 

8.450% 06/15/2018 DD 06/18/08

 

CORPORATE DEBT INSTRUMENTS

 

592

 

SLM STUDENT LN 08-5 CL A-2

 

VAR RT  10/25/2016 DD 04/30/08

 

CORPORATE DEBT INSTRUMENTS

 

2,284

 

SLM STUDENT LN 08-5 CL A-3

 

VAR RT  01/25/2018 DD 04/30/08

 

CORPORATE DEBT INSTRUMENTS

 

586

 

SLM STUDENT LN 08-5 CL A-4

 

VAR RT  07/25/2023 DD 04/30/08

 

CORPORATE DEBT INSTRUMENTS

 

1,599

 

SMALL BUS ADMIN CTF S-95 20B

 

8.150% 02/01/2015 DD 02/15/95

 

U. S. GOVERNMENT SECURITIES

 

200

 

SMALL BUS ADMIN GTD PARTN 97-D

 

7.500% 04/01/2017

 

U. S. GOVERNMENT SECURITIES

 

443

 

SMALL BUS ADMIN GTD PARTN 97-H

 

6.800% 08/01/2017

 

U. S. GOVERNMENT SECURITIES

 

178

 

SMALL BUS ADMIN GTD PARTN CTF

 

1999-20 7.200% 10/01/2019

 

U. S. GOVERNMENT SECURITIES

 

730

 

SMALL BUSINESS ADMIN 97-F

 

7.200% 06/01/2017 DD 06/01/97

 

U. S. GOVERNMENT SECURITIES

 

78

 

SOCIETE DE FINANCEMENT 144A

 

3.375% 05/05/2014 DD 05/05/09

 

CORPORATE DEBT INSTRUMENTS

 

306

 

SOCIETE DE FINANCEMENT 144A

 

3.375% 05/05/2014 DD 05/05/09

 

CORPORATE DEBT INSTRUMENTS

 

2,059

 

SOCIETE DE FINANCEMENT 144A

 

3.375% 05/05/2014 DD 05/05/09

 

CORPORATE DEBT INSTRUMENTS

 

2,141

 

SOCIETE DE FINANCEMENT DE L

 

2.125% 01/30/2012 DD 01/30/09

 

CORPORATE DEBT INSTRUMENTS

 

8,709

 

STATE OF QATAR

 

4.000% 01/20/2015 DD 11/24/09

 

OTHER INVESTMENTS

 

1,504

 

STATE OF QATAR 144A

 

4.000% 01/20/2015 DD 11/24/09

 

OTHER INVESTMENTS

 

1,489

 

STATE STREET CORP

 

4.300% 05/30/2014 DD 05/22/09

 

CORPORATE DEBT INSTRUMENTS

 

978

 

STRUCTURED ADJ RATE 04-12 3-A2

 

VAR RT  09/25/2034 DD 08/01/04

 

CORPORATE DEBT INSTRUMENTS

 

21

 

STRUCTURED ADJ RT 04-16 CL 3A1

 

VAR RT  11/25/2034 DD 10/01/04

 

CORPORATE DEBT INSTRUMENTS

 

136

 

STRUCTURED ASSET 0121A CL 1A1

 

VAR RT  01/25/2032 DD 12/01/01

 

CORPORATE DEBT INSTRUMENTS

 

29

 

STRUCTURED ASSET 03-34A 3A3

 

VAR RT  11/25/2033 DD 10/01/03

 

CORPORATE DEBT INSTRUMENTS

 

227

 

STRUCTURED ASSET 04-19XS A3A

 

VAR RT  10/25/2034 DD 09/01/04

 

CORPORATE DEBT INSTRUMENTS

 

1,312

 

STRUCTURED ASSET 04-5 CL 3-A1

 

VAR RT  05/25/2034 DD 04/01/04

 

CORPORATE DEBT INSTRUMENTS

 

75

 

STRUCTURED ASSET 06-BC6 CL A2

 

VAR RT  01/25/2037 DD 12/25/06

 

CORPORATE DEBT INSTRUMENTS

 

349

 

STRUCTURED ASSET 07-BC1 CL A2

 

VAR RT  02/25/2037 DD 01/25/07

 

CORPORATE DEBT INSTRUMENTS

 

485

 

STRUCTURED ASSET SECS 03 144A

 

3.357% 04/25/2031 DD 01/01/03

 

CORPORATE DEBT INSTRUMENTS

 

365

 

STRUCTURED ASSET SECS 04-5 1A

 

VAR RT  05/25/2034 DD 04/01/04

 

CORPORATE DEBT INSTRUMENTS

 

65

 

STRUCTURED ASSET SECS 04-6 3A2

 

VAR RT  06/25/2034 DD 05/01/04

 

CORPORATE DEBT INSTRUMENTS

 

488

 

SUMITOMO MITSUI BKG CORP 144A

 

VAR RT  07/29/2049 DD 07/22/05

 

CORPORATE DEBT INSTRUMENTS

 

477

 

SUNCOR ENERGY INC NT

 

6.100% 06/01/2018 DD 06/06/08

 

CORPORATE DEBT INSTRUMENTS

 

585

 

SVENSKA HANDELSBANKEN AB

 

2.875% 09/14/2012 DD 09/14/09

 

CORPORATE DEBT INSTRUMENTS

 

1,489

 

SWEDBANK FORENINGSSPARBANK 144

 

2.800% 02/10/2012 DD 02/10/09

 

CORPORATE DEBT INSTRUMENTS

 

5,108

 

TARGET CORP NT

 

5.125% 01/15/2013 DD 01/17/08

 

CORPORATE DEBT INSTRUMENTS

 

434

 

TCI COMMUN INC

 

8.750% 08/01/2015 DD 08/01/95

 

CORPORATE DEBT INSTRUMENTS

 

166

 

TELE COMMUNICATIONS INC DEB

 

7.875% 08/01/2013 DD 08/03/93

 

CORPORATE DEBT INSTRUMENTS

 

28

 

TELECOM ITALIA CAP GTD SR NT

 

6.200% 07/18/2011 DD 07/18/06

 

CORPORATE DEBT INSTRUMENTS

 

1,058

 

TELECOM ITALIA CAP GTD SR NT B

 

5.250% 11/15/2013 DD 05/15/04

 

CORPORATE DEBT INSTRUMENTS

 

463

 

TELEFONICA EMISIONES S A U SR

 

6.421% 06/20/2016 DD 06/20/06

 

CORPORATE DEBT INSTRUMENTS

 

610

 

TELEFONICA EMISIONES S A U SR

 

5.855% 02/04/2013 DD 07/02/07

 

CORPORATE DEBT INSTRUMENTS

 

1,351

 

TELEFONICA EUROPE B V US NT

 

7.750% 09/15/2010 DD 09/21/00

 

CORPORATE DEBT INSTRUMENTS

 

68

 

TENNESSEE VALLEY AUTH 2001 A

 

5.625% 01/18/2011 DD 01/18/01

 

U. S. GOVERNMENT SECURITIES

 

2,104

 

TENNESSEE VALLEY AUTH GBL 2007

 

5.500% 07/18/2017 DD 07/18/07

 

U. S. GOVERNMENT SECURITIES

 

3,924

 

TEXAS ST

 

5.517% 04/01/2039 DD 08/26/09

 

OTHER INVESTMENTS

 

561

 

THOMSON REUTERS CORP GTD NT

 

6.500% 07/15/2018 DD 06/20/08

 

CORPORATE DEBT INSTRUMENTS

 

622

 

TIAA GLOBAL MKTS MTN 144A

 

5.125% 10/10/2012 DD 10/10/07

 

CORPORATE DEBT INSTRUMENTS

 

1,131

 

TIME WARNER CABLE INC

 

5.850% 05/01/2017 DD 04/09/07

 

CORPORATE DEBT INSTRUMENTS

 

294

 

TIME WARNER CABLE INC NT

 

5.400% 07/02/2012 DD 07/02/07

 

CORPORATE DEBT INSTRUMENTS

 

2,137

 

TIME WARNER ENTMT CO LP SR DEB

 

8.375% 03/15/2023 DD 09/15/93

 

CORPORATE DEBT INSTRUMENTS

 

296

 

TOBACCO SETTLEMENT AUTH IOWA

 

6.500% 06/01/2023 DD 11/30/05

 

OTHER INVESTMENTS

 

745

 

TRAVELERS COS INC

 

5.900% 06/02/2019 DD 06/02/09

 

CORPORATE DEBT INSTRUMENTS

 

561

 

U S TREAS BD STRIP PRIN PMT

 

8.125% 05/15/2021

 

U. S. GOVERNMENT SECURITIES

 

486

 

 

S - 15



 

Attachment B

(In thousands)

 

Security Name

 

Maturity and Interest Rate

 

Description

 

Market Value

 

U S TREAS BD STRIP PRIN PMT

 

0.000% 11/15/2027 DD 11/15/97

 

U. S. GOVERNMENT SECURITIES

 

557

 

U S TREASURY BILL

 

0.000% 03/18/2010 DD 09/17/09

 

U. S. GOVERNMENT SECURITIES

 

600

 

U S TREASURY BILL

 

0.000% 05/13/2010 DD 11/12/09

 

U. S. GOVERNMENT SECURITIES

 

999

 

U S TREASURY BILL

 

0.000% 03/11/2010 DD 03/12/09

 

U. S. GOVERNMENT SECURITIES

 

1,400

 

U S TREASURY BILL

 

0.000% 05/20/2010 DD 11/19/09

 

U. S. GOVERNMENT SECURITIES

 

2,398

 

U S TREASURY BOND

 

07.500% 11/15/2024 DD 05/15/94

 

U. S. GOVERNMENT SECURITIES

 

267

 

U S TREASURY BOND

 

4.375% 02/15/2038 DD 02/15/08

 

U. S. GOVERNMENT SECURITIES

 

384

 

U S TREASURY BOND

 

4.500% 08/15/2039 DD 08/15/09

 

U. S. GOVERNMENT SECURITIES

 

489

 

U S TREASURY BOND

 

08.000% 11/15/2021 DD 11/15/91

 

U. S. GOVERNMENT SECURITIES

 

681

 

U S TREASURY BOND

 

06.625% 02/15/2027 DD 02/15/97

 

U. S. GOVERNMENT SECURITIES

 

749

 

U S TREASURY BOND

 

08.500% 02/15/2020 DD 02/15/90

 

U. S. GOVERNMENT SECURITIES

 

831

 

U S TREASURY BOND

 

7.125% 02/15/2023 DD 02/15/93

 

U. S. GOVERNMENT SECURITIES

 

2,097

 

U S TREASURY BOND

 

07.250% 08/15/2022 DD 08/15/92

 

U. S. GOVERNMENT SECURITIES

 

2,332

 

U S TREASURY BOND

 

07.250% 08/15/2022 DD 08/15/92

 

U. S. GOVERNMENT SECURITIES

 

2,682

 

U S TREASURY BOND

 

08.750% 08/15/2020 DD 08/15/90

 

U. S. GOVERNMENT SECURITIES

 

3,643

 

U S TREASURY BOND

 

08.125% 08/15/2019 DD 08/15/89

 

U. S. GOVERNMENT SECURITIES

 

4,240

 

U S TREASURY BOND

 

4.500% 08/15/2039 DD 08/15/09

 

U. S. GOVERNMENT SECURITIES

 

6,099

 

U S TREASURY BONDS

 

4.375% 11/15/2039 DD 11/15/09

 

U. S. GOVERNMENT SECURITIES

 

818

 

U S TREASURY NOTE

 

2.375% 09/30/2014 DD 09/30/09

 

U. S. GOVERNMENT SECURITIES

 

694

 

U S TREASURY NOTE

 

4.625% 02/29/2012 DD 02/28/07

 

U. S. GOVERNMENT SECURITIES

 

1,393

 

U S TREASURY NOTE

 

3.000% 08/31/2016 DD 08/31/09

 

U. S. GOVERNMENT SECURITIES

 

1,869

 

U S TREASURY NOTE

 

3.250% 07/31/2016 DD 07/31/09

 

U. S. GOVERNMENT SECURITIES

 

1,903

 

U S TREASURY NOTE

 

4.000% 08/15/2018 DD 08/15/08

 

U. S. GOVERNMENT SECURITIES

 

1,941

 

U S TREASURY NOTE

 

1.000% 09/30/2011 DD 09/30/09

 

U. S. GOVERNMENT SECURITIES

 

2,999

 

U S TREASURY NOTE

 

3.625% 12/31/2012 DD 12/31/07

 

U. S. GOVERNMENT SECURITIES

 

3,912

 

U S TREASURY NOTE

 

2.000% 11/30/2013 DD 11/30/08

 

U. S. GOVERNMENT SECURITIES

 

4,078

 

U S TREASURY NOTE

 

4.500% 11/15/2010 DD 11/15/05

 

U. S. GOVERNMENT SECURITIES

 

6,726

 

U S TREASURY NOTE

 

2.375% 09/30/2014 DD 09/30/09

 

U. S. GOVERNMENT SECURITIES

 

6,842

 

U S TREASURY NOTE

 

2.625% 07/31/2014 DD 07/31/09

 

U. S. GOVERNMENT SECURITIES

 

8,342

 

U S TREASURY NOTE

 

1.000% 07/31/2011 DD 07/31/09

 

U. S. GOVERNMENT SECURITIES

 

8,513

 

U S TREASURY NOTE

 

3.125% 04/30/2013 DD 04/30/08

 

U. S. GOVERNMENT SECURITIES

 

10,127

 

U S TREASURY NOTE

 

3.125% 08/31/2013 DD 08/31/08

 

U. S. GOVERNMENT SECURITIES

 

10,371

 

U S TREASURY NOTE

 

2.125% 04/30/2010 DD 04/30/08

 

U. S. GOVERNMENT SECURITIES

 

11,071

 

U S TREASURY NOTE

 

3.250% 12/31/2016 DD 12/31/09

 

U. S. GOVERNMENT SECURITIES

 

12,494

 

U S TREASURY NOTE

 

2.375% 08/31/2014 DD 08/31/09

 

U. S. GOVERNMENT SECURITIES

 

15,982

 

U S TREASURY NOTE

 

2.625% 07/31/2014 DD 07/31/09

 

U. S. GOVERNMENT SECURITIES

 

17,487

 

U S TREASURY NOTE

 

2.625% 05/31/2010 DD 05/31/08

 

U. S. GOVERNMENT SECURITIES

 

20,198

 

U S TREASURY NOTE

 

2.000% 09/30/2010 DD 09/30/08

 

U. S. GOVERNMENT SECURITIES

 

24,791

 

U S TREASURY NOTES

 

2.375% 10/31/2014 DD 10/31/09

 

U. S. GOVERNMENT SECURITIES

 

1,275

 

U S TREASURY NOTES

 

2.625% 12/31/2014 DD 12/31/09

 

U. S. GOVERNMENT SECURITIES

 

2,752

 

U S TREASURY NOTES

 

3.125% 10/31/2016 DD 10/31/09

 

U. S. GOVERNMENT SECURITIES

 

2,864

 

U S TREASURY NOTES

 

2.625% 12/31/2014 DD 12/31/09

 

U. S. GOVERNMENT SECURITIES

 

4,288

 

U S TREASURY NOTES

 

2.125% 11/30/2014 DD 11/30/09

 

U. S. GOVERNMENT SECURITIES

 

11,877

 

U S TREASURY NOTES

 

1.000% 12/31/2011 DD 12/31/09

 

U. S. GOVERNMENT SECURITIES

 

23,035

 

U S TREASURY NOTES

 

3.375% 11/15/2019 DD 11/15/09

 

U. S. GOVERNMENT SECURITIES

 

24,472

 

UNION PAC CORP NT

 

5.450% 01/31/2013 DD 08/24/07

 

CORPORATE DEBT INSTRUMENTS

 

1,076

 

UNITEDHEALTH GROUP INC NT

 

5.250% 03/15/2011 DD 03/02/06

 

CORPORATE DEBT INSTRUMENTS

 

725

 

US 10YR NOTE FUTURE (CBT)

 

EXP MAR 10

 

OTHER INVESTMENTS

 

68

 

US 10YR NOTE FUTURE MAR 10

 

CALL MAR 10 121.000 ED 2/19/10

 

OTHER INVESTMENTS

 

(3

)

US 2YR TREAS NTS FUT (CBT)

 

EXP MAR 10

 

OTHER INVESTMENTS

 

(318

)

US 2YR TREAS NTS FUT (CBT)

 

EXP MAR 10

 

OTHER INVESTMENTS

 

286

 

US 5YR TREAS NTS FUTURE (CBT)

 

EXP MAR 10

 

OTHER INVESTMENTS

 

(17

)

US 5YR TREAS NTS FUTURE (CBT)

 

EXP MAR 10

 

OTHER INVESTMENTS

 

113

 

US CENTRAL FEDERAL CRED

 

1.900% 10/19/2012 DD 10/19/09

 

CORPORATE DEBT INSTRUMENTS

 

500

 

US CENTRAL FEDERAL CRED

 

1.250% 10/19/2011 DD 10/19/09

 

CORPORATE DEBT INSTRUMENTS

 

700

 

US CENTRAL FEDERAL CRED

 

1.900% 10/19/2012 DD 10/19/09

 

CORPORATE DEBT INSTRUMENTS

 

779

 

US TREAS BD FUTURE (CBT)

 

EXP MAR 10

 

OTHER INVESTMENTS

 

37

 

US TREAS-CPI INFLAT

 

2.375% 01/15/2025 DD 07/15/04

 

U. S. GOVERNMENT SECURITIES

 

242

 

US TREAS-CPI INFLAT

 

2.500% 07/15/2016 DD 07/15/06

 

U. S. GOVERNMENT SECURITIES

 

3,147

 

VERIZON COMMUNICATIONS INC NT

 

5.250% 04/15/2013 DD 04/04/08

 

CORPORATE DEBT INSTRUMENTS

 

2,425

 

VERIZON NEW JERSEY DEB SER A

 

5.875% 01/17/2012 DD 01/22/02

 

CORPORATE DEBT INSTRUMENTS

 

810

 

VODAFONE AIRTOUCH PLC NT

 

7.750% 02/15/2010 DD 08/15/00

 

CORPORATE DEBT INSTRUMENTS

 

504

 

VODAFONE AIRTOUCH PLC NT

 

7.750% 02/15/2010 DD 08/15/00

 

CORPORATE DEBT INSTRUMENTS

 

675

 

VODAFONE GROUP PLC

 

4.150% 06/10/2014 DD 06/10/09

 

CORPORATE DEBT INSTRUMENTS

 

1,260

 

VODAFONE GROUP PLC NEW NT

 

5.000% 12/16/2013 DD 09/22/03

 

CORPORATE DEBT INSTRUMENTS

 

32

 

VODAFONE GROUP PLC NEW NT

 

5.350% 02/27/2012 DD 02/27/07

 

CORPORATE DEBT INSTRUMENTS

 

2,134

 

WACHOVIA BK COML 05-C21 CL A-4

 

VAR RT  10/17/2044 DD 10/01/05

 

CORPORATE DEBT INSTRUMENTS

 

1,991

 

WACHOVIA BK COML MTG 03-C6 A-4

 

5.125% 08/15/2035 DD 08/01/03

 

CORPORATE DEBT INSTRUMENTS

 

1,066

 

WACHOVIA BK NATL ASSN MTN

 

VAR RT  03/15/2016 DD 03/09/06

 

CORPORATE DEBT INSTRUMENTS

 

3,589

 

WACHOVIA CORP GLOBAL MEDIUM

 

5.500% 05/01/2013 DD 04/25/08

 

CORPORATE DEBT INSTRUMENTS

 

531

 

WACHOVIA CORP GLOBAL MEDIUM

 

5.500% 05/01/2013 DD 04/25/08

 

CORPORATE DEBT INSTRUMENTS

 

1,381

 

WAL-MART STORES INC NT

 

4.250% 04/15/2013 DD 04/15/08

 

CORPORATE DEBT INSTRUMENTS

 

1,060

 

WAMU MTG P/T 06-AR12 CL 1-A4

 

VAR RT  10/25/2036 DD 09/01/06

 

CORPORATE DEBT INSTRUMENTS

 

422

 

WAMU MTG P/T CTF 04-AR3 A2

 

VAR RT  06/25/2034 DD 04/01/04

 

CORPORATE DEBT INSTRUMENTS

 

103

 

WAMU MTG P/T CTFS 05-AR8 2A1A

 

VAR RT  07/25/2045 DD 07/15/05

 

CORPORATE DEBT INSTRUMENTS

 

198

 

WAMU MTG P/T SER 07-OA5 CL 1A

 

VAR RT  06/25/2047 DD 05/01/07

 

CORPORATE DEBT INSTRUMENTS

 

303

 

WEA FIN LLC / WCI FIN LLC 144A

 

5.400% 10/01/2012 DD 09/28/06

 

CORPORATE DEBT INSTRUMENTS

 

133

 

WEA FINANCE LLC

 

7.500% 06/02/2014 DD 06/02/09

 

CORPORATE DEBT INSTRUMENTS

 

422

 

WELLPOINT INC NT

 

5.000% 01/15/2011 DD 01/10/06

 

CORPORATE DEBT INSTRUMENTS

 

465

 

WELLS FARGO & CO FDIC GTD TLGP

 

3.000% 12/09/2011 DD 12/10/08

 

U. S. GOVERNMENT SECURITIES

 

723

 

WELLS FARGO & CO NEW SR NT

 

4.375% 01/31/2013 DD 01/31/08

 

CORPORATE DEBT INSTRUMENTS

 

1,870

 

WELLS FARGO & CO NEW SR UNSECD

 

5.625% 12/11/2017 DD 12/10/07

 

CORPORATE DEBT INSTRUMENTS

 

416

 

WELLS FARGO MTG BKD 04 S A-1

 

VAR RT  09/25/2034 DD 08/01/04

 

CORPORATE DEBT INSTRUMENTS

 

493

 

WEST CORP FED CRED UNION

 

1.750% 11/02/2012 DD 11/02/09

 

CORPORATE DEBT INSTRUMENTS

 

1,692

 

WESTFIELD CAP CORP LTD 144A

 

4.375% 11/15/2010 DD 11/02/04

 

CORPORATE DEBT INSTRUMENTS

 

231

 

WESTPAC BANKING CORP

 

4.875% 11/19/2019 DD 11/19/09

 

CORPORATE DEBT INSTRUMENTS

 

1,629

 

WESTPAC BANKING CORP

 

1.900% 12/14/2012 DD 12/14/09

 

CORPORATE DEBT INSTRUMENTS

 

1,885

 

WHITE MTNS RE GROUP SR NT 144A

 

6.375% 03/20/2017 DD 03/19/07

 

CORPORATE DEBT INSTRUMENTS

 

516

 

WISCONSIN ST GEN REV TXB-SER A

 

4.800% 05/01/2013 DD 12/18/03

 

OTHER INVESTMENTS

 

485

 

XSTRATA FIN CDA LTD GTD 144A

 

5.500% 11/16/2011 DD 11/15/06

 

CORPORATE DEBT INSTRUMENTS

 

1,889

 

XTO ENERGY INC SR NT

 

6.500% 12/15/2018 DD 08/07/08

 

CORPORATE DEBT INSTRUMENTS

 

571

 

YALE UNIVERSITY YALUNI

 

2.900% 10/15/2014 DD 11/10/09

 

CORPORATE DEBT INSTRUMENTS

 

1,370

 

NET RECEIVABLES

 

 

 

 

 

15,967

 

WRAPPER VALUE

 

 

 

 

 

4,477

 

 

 

 

 

 

 

 

 

SYNTHETIC GUARANTEED INVESTMENT CONTRACTS, AT FAIR VALUE

 

 

 

$

1,748,820

 

 

S - 16



 

SIGNATURE

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the persons who administer the Plan have duly caused this annual report to be signed on its behalf by the undersigned, hereunto duly authorized.

 

 

 

 

CBS 401(k) PLAN

 

 

 

 

Date:  June 28, 2010

 

By:

/s/ STEPHEN D. MIRANTE

 

 

 

 

 

 

 

Stephen D. Mirante

 

 

 

 

 

 

 

Member of the Retirement Committee

 

S - 17