 |
| Wells Fargo Advantage Cash Investment Money Market Fund | 9499999G3 | N/A | $15,254,855.92 |
 |
| Apple Incorporated | 037833100 | AAPL | $6,677,719.23 |
 |
| IBM Corporation | 459200101 | IBM | $3,578,929.40 |
 |
| Google Incorporated | 38259P508 | GOOG | $3,400,631.40 |
 |
| Exxon Mobil Corporation | 30231G102 | XOM | $3,180,957.33 |
 |
| Samsung Electronics Company Limited | 677172009 | N/A | $2,308,874.09 |
 |
| Oracle Corporation | 68389X105 | ORCL | $1,916,430.03 |
 |
| General Electric Company | 369604103 | GE | $1,893,352.25 |
 |
| Qualcomm Incorporated | 747525103 | QCOM | $1,846,239.50 |
 |
| Chevron Corporation | 166764100 | CVX | $1,821,396.13 |
 |
| Toyota Motor Corporation | 690064001 | N/A | $1,813,323.39 |
 |
| Johnson & Johnson | 478160104 | JNJ | $1,795,986.60 |
 |
| Microsoft Corporation | 594918104 | MSFT | $1,698,843.36 |
 |
| Procter & Gamble Company | 742718109 | PG | $1,655,508.47 |
 |
| Pfizer Incorporated | 717081103 | PFE | $1,633,612.95 |
 |
| McDonald's Corporation | 580135101 | MCD | $1,606,435.90 |
 |
| Schlumberger Limited | 806857108 | SLB | $1,595,382.52 |
 |
| AT&T Incorporated | 00206R102 | T | $1,587,492.09 |
 |
| Amazon.com Incorporated | 023135106 | AMZN | $1,559,898.59 |
 |
| Berkshire Hathaway Incorporated-Cl B | 084670702 | N/A | $1,496,294.21 |
 |
| JPMorgan Chase & Company | 46625H100 | JPM | $1,429,235.59 |
 |
| Wells Fargo & Company | 949746101 | WFC | $1,428,753.84 |
 |
| Nestle SA | 712387901 | NESN | $1,407,334.66 |
 |
| Visa Incorporated | 92826C839 | V | $1,404,321.18 |
 |
| Cmnwlth Bk of Aust Npv | 621503002 | CBA | $1,359,467.57 |
 |
| BHP Billiton Limited | 614469005 | BHP | $1,305,959.52 |
 |
| United Technologies Corporation | 913017109 | UTX | $1,263,112.63 |
 |
| Coca-Cola Company | 191216100 | KO | $1,220,166.52 |
 |
| Philip Morris International Incorporated | 718172109 | PM | $1,202,745.95 |
 |
| Gilead Sciences Incorporated | 375558103 | GILD | $1,195,831.44 |
 |
| Westpac Bkg Corp Npv | 607614005 | WBC | $1,184,618.41 |
 |
| HSBC Holdings PLC | 054052907 | HSBA | $1,175,985.60 |
 |
| Novartis Limited AG | 710306903 | NOVN | $1,160,423.60 |
 |
| Verizon Communications Incorporated | 92343V104 | VZ | $1,106,477.75 |
 |
| Union Pacific Corporation | 907818108 | UNP | $1,073,824.33 |
 |
| Citigroup Incorporated | 172967424 | C | $1,059,881.30 |
 |
| Merck & Company Incorporated | 58933Y105 | MRK | $1,051,543.82 |
 |
| Bank of America Corporation | 060505104 | BAC | $1,037,840.00 |
 |
| eBay Incorporated | 278642103 | EBAY | $1,014,202.32 |
 |
| Occidental Petroleum Corporation | 674599105 | OXY | $1,012,190.33 |
 |
| Mitsubishi Ufj Fin Group Npv | 633517909 | N/A | $1,012,101.00 |
 |
| Roche Holding AG | 711038901 | ROG | $986,907.04 |
 |
| United Parcel Service Incorporated | 911312106 | UPS | $984,687.46 |
 |
| Wal-Mart Stores Incorporated | 931142103 | WMT | $984,359.00 |
 |
| Aust + Nz Bank Grp Npv | 606558005 | ANZ | $970,235.78 |
 |
| PepsiCo Incorporated | 713448108 | PEP | $959,583.48 |
 |
| China Construction Bank | B0LMTQ900 | N/A | $940,330.19 |
 |
| MasterCard Incorporated | 57636Q104 | MA | $913,415.60 |
 |
| Caterpillar Incorporated | 149123101 | CAT | $913,355.87 |
 |
| Monsanto Company | 61166W101 | MON | $904,938.26 |
 |
| Sprint Nextel Corporation | 852061100 | S | $889,821.96 |
 |
| Natl Australia Bk Npv | 662460005 | NAB | $887,977.99 |
 |
| Cisco Systems Incorporated | 17275R102 | CSCO | $878,315.07 |
 |
| Comcast Corporation | 20030N101 | CMCSA | $872,007.03 |
 |
| Taiwan Semiconductor Manufacturing Company Limited | 688910900 | N/A | $866,896.38 |
 |
| Intel Corporation | 458140100 | INTC | $850,512.87 |
 |
| Colgate-Palmolive Company | 194162103 | CL | $833,708.36 |
 |
| Vodafone Group | B16GWD903 | VOD | $831,483.40 |
 |
| Honda Motor CO Npv | 643514003 | N/A | $826,599.67 |
 |
| The Home Depot Incorporated | 437076102 | HD | $821,337.38 |
 |
| Walt Disney Company | 254687106 | DIS | $809,027.61 |
 |
| EMC Corporation | 268648102 | EMC | $805,926.34 |
 |
| Industrial and Commercial Bank of China Limited | B1G1QD902 | N/A | $805,272.38 |
 |
| BP PLC | 079805909 | N/A | $802,796.47 |
 |
| Simon Property Group Incorporated | 828806109 | SPG | $793,833.98 |
 |
| China Mobile Limited | 607355906 | N/A | $779,559.86 |
 |
| Celgene Corporation | 151020104 | CELG | $778,112.42 |
 |
| America Movil SA Com Ser L Npv (l Vtg) | 266747906 | AMXL | $772,428.94 |
 |
| Express Scripts Holding CO Common Stock Usd.01 | 30219G108 | ESRX | $758,314.24 |
 |
| Senior Housing Properties Trust | 81721M109 | SNH | $753,452.44 |
 |
| Costco Wholesale Corporation | 22160K105 | COST | $743,095.06 |
 |
| Cabot Oil And Gas Corporation | 127097103 | COG | $733,582.81 |
 |
| Delta Air Lines Incorporated | 247361702 | DAL | $733,331.28 |
 |
| Biogen Idec Incorporated | 09062X103 | BIIB | $733,032.29 |
 |
| Mattel Incorporated | 577081102 | MAT | $718,105.52 |
 |
| Cerner Corporation | 156782104 | CERN | $714,831.75 |
 |
| ConAgra Foods Incorporated | 205887102 | CAG | $705,435.50 |
 |
| Sanofi-Aventis SA | 567173901 | SAN | $704,410.67 |
 |
| OAO Gazprom ADR | 514098904 | OGZD | $702,425.63 |
 |
| Anadarko Petroleum Corporation | 032511107 | APC | $702,002.76 |
 |
| Sandisk Corporation | 80004C101 | SNDK | $693,701.21 |
 |
| GlaxoSmithKline PLC | 092528900 | GSK | $692,982.64 |
 |
| Sumitomo Mitsui Group | 656302908 | N/A | $688,260.80 |
 |
| Nike Incorporated-Cl B | 654106103 | NKE | $686,407.05 |
 |
| Starbucks Corporation | 855244109 | SBUX | $684,017.84 |
 |
| Total SA | B15C55900 | FP | $683,699.59 |
 |
| Range Resources Corporation | 75281A109 | RRC | $681,837.09 |
 |
| Analog Devices Incorporated | 032654105 | ADI | $676,948.59 |
 |
| FMC Technologies Incorporated | 30249U101 | FTI | $668,712.41 |
 |
| Rbc Capital Markets/ Repo Mbs Rbc Capital Markets/ Repo Mbs | 972KEX003 | N/A | $668,611.62 |
 |
| Ugi Corporation | 902681105 | UGI | $651,353.36 |
 |
| Northeast Utilities | 664397106 | NU | $650,283.26 |
 |
| Roper Industries Incorporated | 776696106 | ROP | $647,790.15 |
 |
| Starwood Hotels & Resorts Worldwide Incorporation | 85590A401 | HOT | $646,111.33 |
 |
| Liberty Media Corporation Common Stock Usd.01 | 531229102 | LMCA | $645,530.63 |
 |
| Westar Energy Inc. | 95709T100 | WR | $631,643.45 |
 |
| Kansas City Southern | 485170302 | KSU | $631,081.45 |
 |
| Brit Amer Tobacco Ord Gbp0.25 | 028758902 | BATS | $628,966.19 |
 |
| Rpm International Inc | 749685103 | RPM | $628,883.65 |
 |
| Amphenol Corp | 032095101 | APH | $619,293.98 |
 |
| National Retail Properties Incorporated | 637417106 | NNN | $616,541.39 |
 |
| Vertex Pharmaceuticals Incorporated | 92532F100 | VRTX | $616,455.41 |
 |
| Intercontinentalexchange Incorporated | 45865V100 | ICE | $613,819.25 |
 |
| Mizuho Financial Group Incorporated, GB NPV | 659101901 | N/A | $612,884.45 |
 |
| Stanley Black&decker Incorporated | 854502101 | SWK | $610,543.90 |
 |
| Jarden Corporation | 471109108 | JAH | $609,056.96 |
 |
| Actavis Incorporated Common Stock Usd.0033 | 00507K103 | ACT | $608,637.98 |
 |
| O'reilly Automotive Inc. | 67103H107 | ORLY | $608,128.72 |
 |
| American Capital Agency Corp | 02503X105 | AGNC | $607,395.06 |
 |
| Dover Corporation | 260003108 | DOV | $606,815.86 |
 |
| Fiserv Incorporated | 337738108 | FISV | $606,448.43 |
 |
| Amgen Incorporated | 031162100 | AMGN | $606,400.19 |
 |
| M&T Bank Corporation | 55261F104 | MTB | $600,456.64 |
 |
| Invesco Limited | G491BT108 | IVZ | $598,233.70 |
 |
| Clorox Company | 189054109 | CLX | $597,401.83 |
 |
| Genesee & Wyoming Incorporated | 371559105 | GWR | $589,847.32 |
 |
| Wesfarmers Npv | 694883000 | WES | $588,896.15 |
 |
| Cadence Design Systems Incorporated | 127387108 | CDNS | $587,159.85 |
 |
| Alaska Air Group Inccommon | 011659109 | ALK | $581,139.63 |
 |
| Atmos Energy Corpporation | 049560105 | ATO | $579,877.49 |
 |
| Danaher Corporation | 235851102 | DHR | $577,594.56 |
 |
| Mednax Incorporated | 58502B106 | MD | $577,045.79 |
 |
| Apartment Invt. & Mgmt | 03748R101 | AIV | $576,874.29 |
 |
| ConocoPhillips | 20825C104 | COP | $576,783.02 |
 |
| Hanesbrands Incorporated | 410345102 | HBI | $574,636.85 |
 |
| TEREX Corporation | 880779103 | TEX | $572,507.23 |
 |
| Cbl & Associates Properties | 124830100 | CBL | $572,128.12 |
 |
| Seagate Technology PLC Common Stock | G7945M107 | STX | $571,314.15 |
 |
| Fluor Corporation | 343412102 | FLR | $571,234.01 |
 |
| Waste Connections Incorporated | 941053100 | WCN | $570,992.60 |
 |
| Idex Corporation | 45167R104 | IEX | $570,948.08 |
 |
| Dollar Tree Incorporated | 256746108 | DLTR | $569,265.92 |
 |
| Flowers Foods Inc | 343498101 | FLO | $568,642.23 |
 |
| Starwood Property Trust Incorporated | 85571B105 | STWD | $565,400.32 |
 |
| Brown-forman Corporation Cl B | 115637209 | N/A | $564,448.42 |
 |
| DTE Energy Company | 233331107 | DTE | $561,353.92 |
 |
| Two Harbors Investment Corp | 90187B101 | TWO | $560,676.71 |
 |
| Perkinelmer Incorporated | 714046109 | PKI | $560,407.44 |
 |
| EOG Resources Incorporated | 26875P101 | EOG | $557,691.17 |
 |
| Royal Dutch Shell A Shs | B03MLX903 | RDSA | $556,319.28 |
 |
| Regions Financial Corporation | 7591EP100 | RF | $550,907.15 |
 |
| Allergan Incorporated | 018490102 | AGN | $550,308.38 |
 |
| Fidelity National Information Services Incorporated | 31620M106 | FIS | $549,894.69 |
 |
| Itau Unibanco Holding SA Preferred Stock | B037HR904 | N/A | $549,790.98 |
 |
| Priceline.com Incorporated | 741503403 | PCLN | $549,374.68 |
 |
| Mylan Incorporated | 628530107 | MYL | $548,647.19 |
 |
| Murphy Oil Corporation | 626717102 | MUR | $547,187.17 |
 |
| TJX Companies Incorporated | 872540109 | TJX | $546,530.82 |
 |
| Petrol Brasileiros Prf Npv | 268453008 | N/A | $544,983.37 |
 |
| Ametek Incorporated | 031100100 | AME | $544,827.41 |
 |
| Equinix Incorporated | 29444U502 | EQIX | $544,697.44 |
 |
| Netflix.com Incorporated | 64110L106 | NFLX | $544,052.86 |
 |
| Altria Group Incorporated | 02209S103 | MO | $543,821.04 |
 |
| East West Bancorp Incorporated | 27579R104 | EWBC | $542,205.16 |
 |
| Perrigo Company | 714290103 | PRGO | $542,196.40 |
 |
| Sirona Dental Systems Incorporated | 82966C103 | SIRO | $541,494.95 |
 |
| Biomed Property Trust Incorporated | 09063H107 | BMR | $540,502.26 |
 |
| Trinity Industries | 896522109 | TRN | $538,700.66 |
 |
| Deere & Company | 244199105 | DE | $537,196.34 |
 |
| Hartford Financial Services | 416515104 | HIG | $536,174.05 |
 |
| Service Corp International | 817565104 | SCI | $535,724.21 |
 |
| CVS Caremark Corporation | 126650100 | CVS | $534,288.53 |
 |
| 3M Company | 88579Y101 | MMM | $532,339.92 |
 |
| Bristol-Myers Squibb Company | 110122108 | BMY | $532,030.94 |
 |
| EQT Corporation | 26884L109 | EQT | $531,541.00 |
 |
| Chipotle Mexican Grill | 169656105 | CMG | $531,098.17 |
 |
| Praxair Incorporated | 74005P104 | PX | $529,566.41 |
 |
| Concho Resources Incorporated | 20605P101 | CXO | $527,283.52 |
 |
| Royal Dutch Shell PLC | B03MM4906 | RDSB | $527,234.49 |
 |
| Royal Bk CDA Montreal Que Com | 780087953 | RY | $525,873.93 |
 |
| Woolworths Ltd Npv | 698123908 | WOW | $525,326.75 |
 |
| Canon Incorporated | 617232004 | N/A | $524,852.29 |
 |
| Beam Incorporated Common Stock Usd3.125 | 073730103 | BEAM | $522,904.12 |
 |
| Siemens AG | 572797900 | SIE | $521,153.10 |
 |
| Yum! Brands Incorporated | 988498101 | YUM | $520,961.75 |
 |
| Directv Common Stock Usd.01 | 25490A309 | DTV | $520,218.24 |
 |
| Extra Space Storage Incorporated | 30225T102 | EXR | $520,042.29 |
 |
| Blackrock Incorporated | 09247X101 | BLK | $518,427.45 |
 |
| Davita Incorporated | 23918K108 | DVA | $514,438.01 |
 |
| Michael Kors Holdings Ltd Common Stock Npv | G60754101 | KORS | $514,041.98 |
 |
| Wynn Resorts Limited | 983134107 | WYNN | $514,040.51 |
 |
| Jack Henry & Associates Incorporated | 426281101 | JKHY | $513,207.05 |
 |
| Western Digital Corporation | 958102105 | WDC | $512,690.72 |
 |
| Omega Healthcare Investors | 681936100 | OHI | $512,024.53 |
 |
| Eastman Chemical Company | 277432100 | EMN | $511,961.58 |
 |
| Teradata Corporation | 88076W103 | TDC | $511,872.09 |
 |
| Mccormick & Company Inc | 579780206 | MKC | $510,647.16 |
 |
| Hospitality Properties Trust | 44106M102 | HPT | $510,623.86 |
 |
| Abbvie Incorporated Common Stock Usd.01 | 00287Y109 | ABBV | $507,032.62 |
 |
| Triumph Group Incorporated | 896818101 | TGI | $506,776.63 |
 |
| Softbank Corporation Npv | 677062903 | N/A | $506,525.77 |
 |
| Goldman Sachs Group Incorporated | 38141G104 | GS | $505,975.34 |
 |
| Red Hat Incorporated | 756577102 | RHT | $505,536.99 |
 |
| Xerox Corporation | 984121103 | XRX | $505,505.96 |
 |
| Kilroy Realty Corp | 49427F108 | KRC | $505,022.92 |
 |
| ONEOK Incorporated | 682680103 | OKE | $504,628.73 |
 |
| Bunge Limited | G16962105 | BG | $501,778.31 |
 |
| Mfa Mortgage Investments Incorporated | 55272X102 | MFA | $501,644.81 |
 |
| Bco Bradesco SA Prf Npv | B00FM5901 | N/A | $500,572.22 |
 |
| HSBC Time Deposit Usd | 40699F009 | N/A | $499,274.39 |
 |
| Boston Scientific Corporation | 101137107 | BSX | $498,766.88 |
 |
| Hollyfrontier Corp Common Stock Usd.01 | 436106108 | HFC | $498,419.90 |
 |
| US Bancorp | 902973304 | USB | $497,504.67 |
 |
| Health Management Associates Incorporated-Cl A | 421933102 | HMA | $496,718.65 |
 |
| C.H. Robinson Worldwide Incorporated | 12541W209 | CHRW | $495,552.81 |
 |
| TW Telecom Incorporated | 87311L104 | TWTC | $492,885.49 |
 |
| Aptargroup Incorporated | 038336103 | ATR | $492,341.31 |
 |
| Bayer AG | 506921907 | BAYN | $492,019.62 |
 |
| Edwards Lifesciences Corp | 28176E108 | EW | $490,336.18 |
 |
| Companhia Vale do Rio Doce | 225712900 | N/A | $488,476.51 |
 |
| American Tower Corporation Reit | 03027X100 | AMT | $487,304.44 |
 |
| BASF SE Common Stock NPV | ACI0054Q2 | BAS | $485,438.40 |
 |
| Bre Properties Incorporated | 05564E106 | BRE | $483,587.18 |
 |
| Sigma-aldrich Corporation | 826552101 | SIAL | $483,542.53 |
 |
| National-Oilwell Varco Incorporated | 637071101 | NOV | $482,476.63 |
 |
| Nordson Corporation | 655663102 | NDSN | $480,762.66 |
 |
| News Corporation Class A | 65248E104 | NWSA | $480,688.76 |
 |
| Douglas Emmett Incorporated | 25960P109 | DEI | $479,976.11 |
 |
| Anheuser Busch InBev | 475531901 | ABI | $479,380.16 |
 |
| Autodesk Incorporated | 052769106 | ADSK | $479,164.55 |
 |
| Takeda Pharmaceutical CO Ltd Npv | 687044008 | N/A | $478,392.63 |
 |
| Weatherford International Limited | H27013103 | WFT | $476,969.72 |
 |
| Diageo PLC | 023740905 | DGE | $476,858.69 |
 |
| Centerpoint Energy Inc. | 15189T107 | CNP | $476,348.57 |
 |
| Seattle Genetics Incorporated | 812578102 | SGEN | $475,554.03 |
 |
| Six Flags Entertainment Corp Common Stock | 83001A102 | SIX | $472,620.37 |
 |
| Stericycle Incorporated | 858912108 | SRCL | $471,906.70 |
 |
| SBA Communications Corporation-Cl A | 78388J106 | SBAC | $471,084.90 |
 |
| Signature Bank | 82669G104 | SBNY | $470,090.80 |
 |
| Regal Beloit Corporation | 758750103 | RBC | $469,168.99 |
 |
| Amc Networks Incorporated A Common Stock | 00164V103 | AMCX | $468,419.64 |
 |
| BorgWarner Incorporated | 099724106 | BWA | $467,919.21 |
 |
| SolarWinds Incorporated | 83416B109 | SWI | $466,747.06 |
 |
| Mitsubishi Estate Jpy50 | 659672000 | N/A | $466,746.52 |
 |
| Tencent Holdings Ltd Common Stock | B01CT3905 | N/A | $465,017.90 |
 |
| Church & Dwight Company Incorporated | 171340102 | CHD | $464,247.76 |
 |
| Lukoil Oil Company ADR Rep 4 Ord Rub.025 | 318987906 | LKOD | $463,825.32 |
 |
| Toronto Dominion Bk Ont Com New | 891160954 | TD | $463,592.63 |
 |
| Xilinx Incorporated | 983919101 | XLNX | $463,331.68 |
 |
| Coca-Cola Enterprises Incorporated | 19122T109 | CCE | $463,264.85 |
 |
| UnitedHealth Group Incorporated | 91324P102 | UNH | $462,595.96 |
 |
| Sberbank Sponsored ADR ADR | B5SC09903 | SBER | $462,534.73 |
 |
| Verisk Analytics Incorporated | 92345Y106 | VRSK | $462,407.55 |
 |
| Hyundai Motor CO Krw5000 | 645105909 | N/A | $461,186.03 |
 |
| Fedex Corporation | 31428X106 | FDX | $460,478.35 |
 |
| Wyndham Worldwide Corporation | 98310W108 | WYN | $458,982.49 |
 |
| Wisconsin Energy Corporation | 976657106 | WEC | $458,858.45 |
 |
| Teradyne Incorporated | 880770102 | TER | $458,677.87 |
 |
| Natixis Cayman Islands Time Deposit Natcay 1 | 959PXB006 | N/A | $457,668.19 |
 |
| Macerich Company/the | 554382101 | MAC | $455,042.70 |
 |
| Athenahealth Incorporated | 04685W103 | ATHN | $454,805.70 |
 |
| Dr Pepper Snapple Group Incorporated | 26138E109 | DPS | $454,463.46 |
 |
| Kennametal Incorporated | 489170100 | KMT | $452,340.21 |
 |
| American International Group Incorporated | 026874784 | AIG | $452,060.29 |
 |
| Cit Group Incorporated Common Stock Usd.01 | 125581801 | CIT | $451,661.00 |
 |
| Sap AG Npv | 484628904 | SAP | $451,062.80 |
 |
| Madison Square Gar Inca Common Stock | 55826P100 | MSG | $450,785.63 |
 |
| Medivation Incorporated | 58501N101 | MDVN | $449,258.27 |
 |
| CommVault Systems Incorporated | 204166102 | CVLT | $448,312.18 |
 |
| Teleflex Incorporated | 879369106 | TFX | $446,949.45 |
 |
| Precision Castparts Corporation | 740189105 | PCP | $445,764.27 |
 |
| Eli Lilly & Company | 532457108 | LLY | $445,552.96 |
 |
| Whirlpool Corporation | 963320106 | WHR | $443,154.07 |
 |
| Maxim Integrated Products Incorporated | 57772K101 | MXIM | $442,765.95 |
 |
| Laboratory Corporation of America Holdings | 50540R409 | LH | $441,541.32 |
 |
| Slm Corporation | 78442P106 | SLM | $440,269.38 |
 |
| Thermo Fisher Scientific Incorporated | 883556102 | TMO | $438,657.84 |
 |
| Vectren Corporation | 92240G101 | VVC | $437,857.01 |
 |
| Abbott Laboratories | 002824100 | ABT | $436,980.98 |
 |
| NYSE Euronext Incorporated | 629491101 | NYX | $436,776.44 |
 |
| Cytec Industries | 232820100 | CYT | $436,744.82 |
 |
| Principal Financial Group Inc | 74251V102 | PFG | $436,726.38 |
 |
| Bank of China Limited | B15456906 | N/A | $436,686.45 |
 |
| Tanger Factory Outlet Cent | 875465106 | SKT | $436,591.03 |
 |
| Textron Incorporated | 883203101 | TXT | $434,455.56 |
 |
| Aol Incorporated Common Stock | 00184X105 | AOL | $434,430.93 |
 |
| Flowserve Corporation | 34354P105 | FLS | $433,513.44 |
 |
| KeyCorp | 493267108 | KEY | $432,532.48 |
 |
| Ambev Cia De Bebid Prf Npv | 236197901 | N/A | $432,289.21 |
 |
| PVH Corporation | 693656100 | PVH | $431,933.06 |
 |
| Cleco Corporation | 12561W105 | CNL | $429,843.00 |
 |
| Tiffany & Company | 886547108 | TIF | $428,609.15 |
 |
| Popular Incorporated Common Stock Usd.01 | 733174700 | BPOP | $428,535.38 |
 |
| Mondelez International Incorporated A Common Stock Npv | 609207105 | MDLZ | $428,490.96 |
 |
| Novo Nordisk As Dkk2 Ser B | 707752903 | NOVOB | $428,287.83 |
 |
| Protective Life Corp | 743674103 | PL | $426,425.23 |
 |
| AIA Group Limited | B4TX8S909 | N/A | $425,850.19 |
 |
| Proassurance Corporation | 74267C106 | PRA | $425,736.16 |
 |
| Ariad Pharmaceuticals Incorporated | 04033A100 | ARIA | $425,312.04 |
 |
| Kimco Realty Corporation | 49446R109 | KIM | $424,632.17 |
 |
| U.S. Treasury N/b | 912828TQ3 | N/A | $424,514.99 |
 |
| Time Warner Incorporated | 887317303 | TWX | $424,293.53 |
 |
| Cnooc Ltd Hkd0.02 | B00G0S903 | N/A | $424,178.18 |
 |
| Unilever NV | B12T3J908 | UNA | $423,887.63 |
 |
| Alcoa Incorporated | 013817101 | AA | $422,925.61 |
 |
| Nisource Incorporated | 65473P105 | NI | $422,809.44 |
 |
| Waters Corporation | 941848103 | WAT | $422,460.60 |
 |
| Xl Group PLC Common Stock Usd.01 | G98290102 | XL | $422,311.47 |
 |
| Henry Schein Incorporated | 806407102 | HSIC | $421,253.43 |
 |
| Staples Incorporated | 855030102 | SPLS | $420,943.56 |
 |
| Chicos Fas Incorporated | 168615102 | CHS | $420,836.91 |
 |
| Affiliated Managers Group Incorporated | 008252108 | AMG | $420,760.80 |
 |
| Home Properties Inc. | 437306103 | HME | $420,153.74 |
 |
| Realty Income Corporation | 756109104 | O | $418,770.75 |
 |
| Invesco Mortgage Capital Common Stock | 46131B100 | IVR | $418,572.27 |
 |
| Bank N S Halifax Com | 064149958 | BNS | $418,368.66 |
 |
| Western Union Company | 959802109 | WU | $417,389.25 |
 |
| Alliance Data Systems Corporation | 018581108 | ADS | $417,207.61 |
 |
| Lincoln National Corporation | 534187109 | LNC | $417,147.23 |
 |
| Cboe Holdings Incorporated Common Stock | 12503M108 | CBOE | $416,732.38 |
 |
| Avon Products Incorporated | 054303102 | AVP | $416,697.11 |
 |
| Linear Technology Corporation | 535678106 | LLTC | $412,928.48 |
 |
| Rockwell Collins Incorporated | 774341101 | COL | $411,586.61 |
 |
| U.S. Airways Group Incorporated | 90341W108 | LCC | $410,772.89 |
 |
| First American Financial Common Stock Usd1e 05.0 | 31847R102 | FAF | $410,606.49 |
 |
| Wesco International Incorporated | 95082P105 | WCC | $410,389.28 |
 |
| Manitowoc Company Incorporated | 563571108 | MTW | $410,003.05 |
 |
| Dril-quip Inc | 262037104 | DRQ | $409,945.50 |
 |
| KLA-Tencor Corporation | 482480100 | KLAC | $408,640.21 |
 |
| SVB Financial Group | 78486Q101 | SIVB | $408,055.04 |
 |
| Biomarin Pharmaceutical | 09061G101 | BMRN | $407,988.48 |
 |
| Hatteras Financial Corporation | 41902R103 | HTS | $407,940.82 |
 |
| Hawaiian Electric Inds | 419870100 | HE | $406,700.54 |
 |
| Ford Motor Company | 345370860 | F | $406,274.38 |
 |
| FMC Corporation | 302491303 | FMC | $405,307.30 |
 |
| Varian Medical Systems Incorporated | 92220P105 | VAR | $403,443.79 |
 |
| Mckesson Corporation | 58155Q103 | MCK | $403,172.83 |
 |
| Duke Energy Corp Common Stock Usd.001 | 26441C204 | DUK | $403,105.46 |
 |
| Sl Green Realty Corporation | 78440X101 | SLG | $402,667.54 |
 |
| Concur Technologies Incorporated | 206708109 | CNQR | $400,978.08 |
 |
| Gulfport Energy Corporation | 402635304 | GPOR | $400,938.71 |
 |
| Eagle Materials Inc | 26969P108 | EXP | $400,287.55 |
 |
| Hon Hai Precision Twd10 | 643856909 | N/A | $398,171.86 |
 |
| First Tennessee Natl Corp | 320517105 | FHN | $397,323.17 |
 |
| Compuware Corporation | 205638109 | CPWR | $397,233.41 |
 |
| NRG Energy Incorporated | 629377508 | NRG | $397,061.34 |
 |
| Incyte Corp. | 45337C102 | INCY | $396,980.18 |
 |
| Clean Harbors Incorporated | 184496107 | CLH | $396,911.94 |
 |
| Ameren Corporation | 023608102 | AEE | $395,313.31 |
 |
| Cr Bard Incorporated | 067383109 | BCR | $395,301.70 |
 |
| Hancock Holding Company | 410120109 | HBHC | $394,669.25 |
 |
| Visteon Corp Common Stock | 92839U206 | VC | $393,827.47 |
 |
| Dana Holding Corporation | 235825205 | DAN | $393,534.25 |
 |
| Wex Incorporated Common Stock Usd.01 | 96208T104 | WXS | $392,721.30 |
 |
| Plum Creek Timber Company | 729251108 | PCL | $392,251.30 |
 |
| Computer Sciences Corporation | 205363104 | CSC | $391,675.55 |
 |
| Harman International Industries | 413086109 | HAR | $391,223.26 |
 |
| Trimble Navigation Limited | 896239100 | TRMB | $390,949.98 |
 |
| Cubist Pharmaceuticals Inc. | 229678107 | CBST | $389,834.23 |
 |
| Aspen Technology Incorporated | 045327103 | AZPN | $389,574.15 |
 |
| Banco Santander SA | 570594903 | SAN | $389,068.10 |
 |
| Pall Corporation | 696429307 | PLL | $388,982.64 |
 |
| Hrpt Properties Trust | 203233101 | CWH | $388,710.21 |
 |
| Associated Banc-corp | 045487105 | ASBC | $388,606.27 |
 |
| East Japan Railway Npv | 629854902 | N/A | $387,724.56 |
 |
| CNO Financial Group Incorporated | 12621E103 | CNO | $387,365.00 |
 |
| Atwood Oceanics Incorporated | 050095108 | ATW | $386,957.85 |
 |
| Equity Lifestyle Properties In | 29472R108 | ELS | $386,690.52 |
 |
| Cymer Inc Common Stock | 232572107 | CYMI | $386,381.80 |
 |
| Salesforce.com Incorporated | 79466L302 | CRM | $386,379.92 |
 |
| Ansys Inccommon Stock | 03662Q105 | ANSS | $386,262.13 |
 |
| Expeditors International of Washington Incorporated | 302130109 | EXPD | $386,055.58 |
 |
| Leucadia National Corporation | 527288104 | LUK | $383,933.30 |
 |
| Tempur-pedic International | 88023U101 | TPX | $382,931.64 |
 |
| Tesoro Petroleum Corporation | 881609101 | TSO | $382,547.54 |
 |
| Acuity Brands, Inc. | 00508Y102 | AYI | $381,595.46 |
 |
| Petrochina Company Limited | 622657906 | N/A | $379,873.29 |
 |
| Costar Group Inccommon Sto | 22160N109 | CSGP | $379,627.12 |
 |
| Campbell Soup Company | 134429109 | CPB | $378,267.13 |
 |
| AstraZeneca PLC | 098952906 | AZN | $377,754.06 |
 |
| Dominos Pizza Incorporated | 25754A201 | DPZ | $377,519.98 |
 |
| Mid-America Apartment | 59522J103 | MAA | $377,434.18 |
 |
| Verisign Incorporated | 92343E102 | VRSN | $375,854.21 |
 |
| Tractor Supply Company | 892356106 | TSCO | $375,851.14 |
 |
| Carter's Incorporated | 146229109 | CRI | $375,672.23 |
 |
| Mtn Group Ltd Zar0.0001 | 656320900 | MTN | $375,521.84 |
 |
| Lennox International Inc. | 526107107 | LII | $375,477.54 |
 |
| Hexel Corporation | 428291108 | HXL | $374,562.80 |
 |
| Credit Agricole Cib Ky | 21599U007 | N/A | $374,455.79 |
 |
| Teledyne Technologies Inc | 879360105 | TDY | $374,208.43 |
 |
| Medtronic Incorporated | 585055106 | MDT | $373,990.49 |
 |
| Petrol Brasilieros Com Npv | 268236908 | N/A | $372,727.05 |
 |
| Allianz SE | 523148906 | ALV | $372,521.12 |
 |
| BHP Billiton PLC | 005665906 | BLT | $370,888.20 |
 |
| Cognizant Technology Solutions Corporation | 192446102 | CTSH | $370,617.98 |
 |
| World Fuel Services Corporation | 981475106 | INT | $370,141.00 |
 |
| Healthcare Realty Trust | 421946104 | HR | $369,105.87 |
 |
| Csl Npv | 618549901 | CSL | $369,071.99 |
 |
| Mitsubishi Corporation | 659678007 | N/A | $368,901.01 |
 |
| Smith (A.O.) Corporation | 831865209 | AOS | $368,874.46 |
 |
| Middleby Corporation | 596278101 | MIDD | $368,588.11 |
 |
| Monster Beverage Corp | 611740101 | MNST | $368,131.87 |
 |
| Ultimate Software Group Incorporated | 90385D107 | ULTI | $367,334.18 |
 |
| Piedmont Natural Gas Company | 720186105 | PNY | $367,278.53 |
 |
| Oceaneering International | 675232102 | OII | $366,910.58 |
 |
| Hewlett-Packard Company | 428236103 | HPQ | $366,825.35 |
 |
| H & R Block Incorporated | 093671105 | HRB | $366,693.38 |
 |
| EMCOR Group, Incorporated | 29084Q100 | EME | $364,600.19 |
 |
| TCF Financial Corporation | 872275102 | TCB | $364,157.61 |
 |
| F5 Networks Incorporated | 315616102 | FFIV | $364,127.67 |
 |
| Green Mountain Coffee Roaste | 393122106 | GMCR | $363,818.58 |
 |
| Molson Coors Brewing Company | 60871R209 | TAP | $363,459.03 |
 |
| GATX Corporation | 361448103 | GMT | $363,297.77 |
 |
| Steris Corporation | 859152100 | STE | $362,701.71 |
 |
| E.I. du Pont De Nemours & Company | 263534109 | DD | $362,035.36 |
 |
| Federal Realty Invs Trust | 313747206 | FRT | $361,377.22 |
 |
| CareFusion Corporation | 14170T101 | CFN | $361,232.54 |
 |
| Newmarket Corp | 651587107 | NEU | $361,156.45 |
 |
| IDACORP, Incorporated | 451107106 | IDA | $360,722.74 |
 |
| Jazz Pharmaceuticals PLC Common Stock Usd.0001 | G50871105 | JAZZ | $359,593.99 |
 |
| Fanuc Npv | 635693005 | N/A | $358,407.76 |
 |
| Epr Properties Reit Usd.01 | 26884U109 | EPR | $357,995.22 |
 |
| TransDigm Group Incorporated | 893641100 | TDG | $357,939.48 |
 |
| Armour Residential Reit Incorporated Common Stock | 042315101 | ARR | $357,435.96 |
 |
| Unum Group | 91529Y106 | UNM | $357,141.31 |
 |
| Airgas Incorporated | 009363102 | ARG | $356,817.39 |
 |
| Navistar Intl Corp | 63934E108 | NAV | $356,813.44 |
 |
| Lasalle Hotel Properties | 517942108 | LHO | $355,386.49 |
 |
| L-3 Communications Holdings In | 502424104 | LLL | $354,222.63 |
 |
| Rayonier Incorporated | 754907103 | RYN | $354,091.45 |
 |
| Hain Celestial Group Incorporated | 405217100 | HAIN | $353,985.16 |
 |
| Brookdale Senior Living Inc. | 112463104 | BKD | $353,454.18 |
 |
| Alliant Techsystems Inc | 018804104 | ATK | $352,809.51 |
 |
| JB Hunt Transport Services | 445658107 | JBHT | $352,704.60 |
 |
| Naspers Limited | 662269901 | NPN | $352,515.60 |
 |
| CMS Energy Corporation | 125896100 | CMS | $352,256.86 |
 |
| Public Storage Inc. | 74460D109 | PSA | $352,152.57 |
 |
| Maximus Incorporated | 577933104 | MMS | $352,141.59 |
 |
| Bg Group Ord Gbp0.10 | 087628905 | N/A | $351,690.28 |
 |
| Infosys Technologi Inr5 (demat) | 620512905 | INFO | $351,352.06 |
 |
| Toro Company | 891092108 | TTC | $349,461.14 |
 |
| Newell Rubbermaid Incorporated | 651229106 | NWL | $349,227.41 |
 |
| Old Dominion | 679580100 | ODFL | $348,957.79 |
 |
| Adobe Systems Incorporated | 00724F101 | ADBE | $347,986.88 |
 |
| Medical Properties Trust Incorporated | 58463J304 | MPW | $347,528.91 |
 |
| Rio Tinto PLC | 071887004 | RIO | $347,278.01 |
 |
| Fulton Financial Corp | 360271100 | FULT | $347,144.68 |
 |
| Lamar Advertising Company | 512815101 | LAMR | $347,083.52 |
 |
| Japan Tobacco Incorporated | 647453901 | N/A | $345,612.53 |
 |
| Susquehanna Bank | 869099101 | SUSQ | $345,372.43 |
 |
| Aruba Networks Incorporated | 043176106 | ARUN | $344,818.02 |
 |
| Vulcan Materials Incorporated | 929160109 | VMC | $343,164.20 |
 |
| ENI SPA | 714505906 | ENI | $343,112.27 |
 |
| Landstar Systems Inccommon | 515098101 | LSTR | $342,952.63 |
 |
| Phillips 66 | 718546104 | PSX | $342,185.51 |
 |
| Mohawk Industries Incorporated | 608190104 | MHK | $341,627.55 |
 |
| Petsmart Inc | 716768106 | PETM | $341,613.91 |
 |
| Portland General Electric Company | 736508847 | POR | $341,479.24 |
 |
| Ecolab Incorporated | 278865100 | ECL | $341,287.02 |
 |
| Huntington Ingalls Industrie Common Stock | 446413106 | HII | $341,168.05 |
 |
| Illumina Inc | 452327109 | ILMN | $341,094.85 |
 |
| Bank of Hawaii Corporation | 062540109 | BOH | $340,282.80 |
 |
| ResMed Incorporated | 761152107 | RMD | $339,487.95 |
 |
| Wgl Holdings Incorporated | 92924F106 | WGL | $339,275.52 |
 |
| Clarcor Incorporated | 179895107 | CLC | $338,962.01 |
 |
| Compass Minerals Internation | 20451N101 | CMP | $337,739.81 |
 |
| American Water Works CO Incorporated | 030420103 | AWK | $336,636.51 |
 |
| Hitachi Npv | 642910004 | N/A | $335,644.67 |
 |
| Mettler-Toledo International Incorporated | 592688105 | MTD | $334,568.77 |
 |
| Franklin Resources Incorporated | 354613101 | BEN | $334,390.70 |
 |
| Helix Energy Solutions Grp | 42330P107 | HLX | $334,043.64 |
 |
| Lifepoint Hospitals Inccom | 53219L109 | LPNT | $333,294.08 |
 |
| UBS AG Chf0.1 (post Subdivision) | B18YFJ908 | UBSN | $333,085.00 |
 |
| Microchip Technology | 595017104 | MCHP | $332,811.87 |
 |
| Noble Energy Incorporated | 655044105 | NBL | $332,749.98 |
 |
| Posco Krw5000 | 669323008 | N/A | $332,729.67 |
 |
| Lowes Companies Incorporated | 548661107 | LOW | $331,738.94 |
 |
| Health Net Incorporated | 42222G108 | HNT | $331,608.01 |
 |
| Post Properties Incorporated | 737464107 | PPS | $331,431.91 |
 |
| Tyson Foods Incorporated Cl A | 902494103 | TSN | $331,278.43 |
 |
| LKQ Corporation | 501889208 | LKQ | $331,124.80 |
 |
| Cree Incorporated | 225447101 | CREE | $331,032.56 |
 |
| Salix Pharmeceuticals Ltd. | 795435106 | SLXP | $330,847.54 |
 |
| The Hanover Insurance Group | 410867105 | THG | $330,078.89 |
 |
| Cincinnati Financial Corporation | 172062101 | CINF | $329,883.04 |
 |
| 3d Systems Corp | 88554D205 | DDD | $329,788.97 |
 |
| Arch Capital Group Limited | G0450A105 | ACGL | $329,702.89 |
 |
| Core Laboratories N.V. | N22717107 | CLB | $329,493.41 |
 |
| Cepheid Incorporated | 15670R107 | CPHD | $328,832.62 |
 |
| Metlife Incorporated | 59156R108 | MET | $327,986.33 |
 |
| Bio-rad Laboratories Incorporated | 090572207 | BIO | $327,882.25 |
 |
| Sothebys Inc | 835898107 | BID | $327,763.20 |
 |
| Rovi Corporation | 779376102 | ROVI | $327,591.19 |
 |
| Onyx Pharmaceuticals Incorporated | 683399109 | ONXX | $327,441.12 |
 |
| Crown Castle International Corporation | 228227104 | CCI | $327,305.92 |
 |
| Celanese Corp-Series A | 150870103 | CE | $327,003.71 |
 |
| Southwest Gas Corporation | 844895102 | SWX | $326,447.19 |
 |
| Seven + I Holdings Npv | B0FS5D909 | N/A | $326,198.54 |
 |
| B/E Aerospace Incorporated | 073302101 | BEAV | $326,175.11 |
 |
| Cheniere Energy Inc | 16411R208 | LNG | $326,061.00 |
 |
| Lennar Corporation Class A | 526057104 | LEN | $325,975.27 |
 |
| Corelogic Incorporated Common Stock Usd1.0 | 21871D103 | CLGX | $325,755.89 |
 |
| Telefonica SA Eur 1 | 573252905 | TEF | $325,711.75 |
 |
| China Petroleum & Chemical Corporation | 629181900 | N/A | $325,464.74 |
 |
| Synovus Financial Corporation | 87161C105 | SNV | $324,693.41 |
 |
| Rent-A-Center Incorporated | 76009N100 | RCII | $323,842.08 |
 |
| RR Donnelley & Sons Company | 257867101 | RRD | $323,767.39 |
 |
| Wellcare Health Plans Incorporated | 94946T106 | WCG | $323,733.29 |
 |
| Watsco Incorporated | 942622200 | WSO | $323,634.25 |
 |
| Rosetta Resources Incorporated | 777779307 | ROSE | $323,233.72 |
 |
| Walgreen Company | 931422109 | WAG | $322,364.72 |
 |
| Lender Processing Services Incorporated | 52602E102 | LPS | $321,947.37 |
 |
| Housing Devel Fin Inr10 (demat) | 617190905 | HDFC | $321,624.32 |
 |
| Corporate Office Propertie | 22002T108 | OFC | $321,259.58 |
 |
| Akamai Technologies Incorporated | 00971T101 | AKAM | $320,759.03 |
 |
| Telephone And Data Systems Common Stock Usd.01 | 879433829 | TDS | $320,642.77 |
 |
| The Southern Company | 842587107 | SO | $320,084.75 |
 |
| Las Vegas Sands Corporation | 517834107 | LVS | $320,065.67 |
 |
| Shin Etsu Chem CO Npv | 680458007 | N/A | $318,767.43 |
 |
| Fei Company | 30241L109 | FEIC | $317,779.58 |
 |
| Oge Energy Corporation | 670837103 | OGE | $317,686.84 |
 |
| Brandywine Realty Trustrei | 105368203 | BDN | $317,425.10 |
 |
| Quanta Services Incorporated | 74762E102 | PWR | $317,408.73 |
 |
| FNMA | 01F032641 | N/A | $317,357.20 |
 |
| Intuitive Surgical Inccomm | 46120E602 | ISRG | $317,163.94 |
 |
| Fortune Brands Home + Securi Common Stock Usd.01 | 34964C106 | FBHS | $317,098.71 |
 |
| Emerson Electric Company | 291011104 | EMR | $316,776.86 |
 |
| Advance Auto Parts Incorporated | 00751Y106 | AAP | $315,610.30 |
 |
| Mitsui + CO Npv | 659730006 | N/A | $314,812.44 |
 |
| Comerica Incorporated | 200340107 | CMA | $314,292.15 |
 |
| Deluxe Corporation | 248019101 | DLX | $314,155.73 |
 |
| Sasol Npv | 677745903 | SOL | $314,133.80 |
 |
| Willis Group Holdings | G96666105 | WSH | $313,804.19 |
 |
| Vale SA Com Stk Npv | 219628005 | N/A | $313,452.16 |
 |
| United Natural Foods Incorporated | 911163103 | UNFI | $313,401.93 |
 |
| Everest Reinsurance Group Limited | G3223R108 | RE | $313,265.75 |
 |
| Baidu.com Incorporated ADR | 056752108 | BIDU | $313,204.54 |
 |
| Spirit Aerosystems Holdings Incorporated | 848574109 | SPR | $313,146.96 |
 |
| Rio Tinto Limited Npv | 622010007 | RIO | $312,182.21 |
 |
| Dr Horton Incorporated | 23331A109 | DHI | $311,746.85 |
 |
| T. Rowe Price Group Incorporated | 74144T108 | TROW | $311,692.53 |
 |
| BNP Paribas Eur2 | 730968906 | BNP | $311,476.23 |
 |
| Baxter International Incorporated | 071813109 | BAX | $311,372.54 |
 |
| Daimler AG | 552902900 | DAI | $311,255.22 |
 |
| Microsemi Corporation | 595137100 | MSCC | $311,198.22 |
 |
| Prosperity Bancshares Inc. | 743606105 | PB | $310,862.70 |
 |
| Chart Industries Incorporated | 16115Q308 | GTLS | $310,746.32 |
 |
| Astellas Pharma Incorporated Npv | 698538006 | N/A | $310,706.21 |
 |
| Kodiak Oil & Gas Corporation | 50015Q100 | KOG | $310,239.53 |
 |
| Zebra Technologies Corp Cl A | 989207105 | ZBRA | $310,075.48 |
 |
| Scana Corporation | 80589M102 | SCG | $309,864.99 |
 |
| Mitsui Fudosan Company | 659760003 | N/A | $309,709.94 |
 |
| Cimarex Energy Company | 171798101 | XEC | $309,655.85 |
 |
| Woodward Governor CO | 980745103 | WWD | $309,359.69 |
 |
| Discovery Communications Incorporated Class C | 25470F104 | DISCA | $308,892.43 |
 |
| Texas Instruments Incorporated | 882508104 | TXN | $308,318.98 |
 |
| Reliance Inds Inr10 (demat) | 609962907 | RIL | $308,309.95 |
 |
| Endurance Specialty Holdings | G30397106 | ENH | $308,270.74 |
 |
| Dillards Incorporated Class A | 254067101 | DDS | $308,136.87 |
 |
| Unilever PLC Ord Gbp0.031111 | B10RZP905 | ULVR | $307,995.91 |
 |
| Owens & Minor Incorporated | 690732102 | OMI | $307,686.13 |
 |
| Vca Antech Incorporated | 918194101 | WOOF | $307,410.43 |
 |
| PPG Industries Incorporated | 693506107 | PPG | $307,075.76 |
 |
| Cys Investments Incorporated Reit Usd.01 | 12673A108 | CYS | $306,070.27 |
 |
| Hms Holding Corp | 40425J101 | HMSY | $305,545.79 |
 |
| Darden Restaurants Incorporated | 237194105 | DRI | $305,438.96 |
 |
| Treehouse Foods Incorporated | 89469A104 | THS | $305,174.85 |
 |
| Howard Hughes Corp/the | 44267D107 | HHC | $304,989.40 |
 |
| Usg Corporation | 903293405 | USG | $304,632.06 |
 |
| Exelis Incorporated Common Stock | 30162A108 | XLS | $304,441.65 |
 |
| Tenneco Incorporated | 880349105 | TEN | $304,326.54 |
 |
| Helmerich & Payne Incorporated | 423452101 | HP | $303,951.02 |
 |
| Polaris Industries Incorporated | 731068102 | PII | $303,688.27 |
 |
| Standard Chartered Ord Usd0.50 | 040828907 | STAN | $303,623.66 |
 |
| Techne Corporationcommon S | 878377100 | TECH | $303,601.84 |
 |
| Semtech Corpcommon Stock | 816850101 | SMTC | $303,399.62 |
 |
| CapitalSource Incorporated | 14055X102 | CSE | $303,229.78 |
 |
| Esterline Technologies Corporation | 297425100 | ESL | $302,660.00 |
 |
| Uns Energy Corp Common Stock Npv | 903119105 | UNS | $301,825.59 |
 |
| Kimberly-Clark Corporation | 494368103 | KMB | $301,733.05 |
 |
| Nu Skin Asia Pacific Inc-a | 67018T105 | NUS | $301,707.09 |
 |
| Dow Chemical Company | 260543103 | DOW | $301,593.63 |
 |
| Valley National Bancorp | 919794107 | VLY | $301,576.54 |
 |
| Olin Corporation | 680665205 | OLN | $301,222.46 |
 |
| Camden Property | 133131102 | CPT | $300,642.74 |
 |
| Nielsen Holdings Nv Common Stock | N63218106 | NLSN | $300,581.38 |
 |
| Tripadvisor Incorporated Common Stock Usd.001 | 896945201 | TRIP | $299,546.22 |
 |
| Cabot Corporation | 127055101 | CBT | $299,194.93 |
 |
| Sabmiller PLC Ord Usd0.10 | 048354906 | SAB | $298,977.97 |
 |
| Nissan Motor CO Npv | 664286002 | N/A | $298,681.37 |
 |
| Uil Holdings Corporation | 902748102 | UIL | $298,266.19 |
 |
| Joy Global Incorporated | 481165108 | JOY | $298,042.25 |
 |
| Dct Industrial Trust Incorporated | 233153105 | DCT | $296,882.03 |
 |
| Nippon Steel Corp Npv | 664256005 | N/A | $296,718.43 |
 |
| Hutchison Whampoa Hkd0.25 | 644806002 | N/A | $295,791.77 |
 |
| PAREXEL International Corporation | 699462107 | PRXL | $295,610.63 |
 |
| Centene Corpcommon Stock | 15135B101 | CNC | $294,413.86 |
 |
| Sunstone Hotel | 867892101 | SHO | $294,252.86 |
 |
| Expedia Incorporated Common Stock Usd.001 | 30212P303 | EXPE | $293,480.42 |
 |
| Intuit Incorporated | 461202103 | INTU | $293,101.09 |
 |
| Pinnacle West Capital Corporation | 723484101 | PNW | $291,775.08 |
 |
| ABB Limited | 710889908 | ABBN | $291,682.53 |
 |
| MeadWestvaco | 583334107 | MWV | $291,633.13 |
 |
| Credit Agricole | 229995006 | N/A | $291,243.39 |
 |
| Anz Banking Group London Time Deposit Anzlon 15 | 969AEA000 | N/A | $291,243.39 |
 |
| China Construction Bank Time Deposit | 998MZS007 | N/A | $291,243.39 |
 |
| Scripps Networks Interactive Incorporated | 811065101 | SNI | $291,105.22 |
 |
| Broadcom Corporation | 111320107 | BRCM | $290,922.22 |
 |
| Coventry Health Care Incorporated | 222862104 | CVH | $290,507.35 |
 |
| Huntington Bancshares Incorporated | 446150104 | HBAN | $290,469.82 |
 |
| Barclays Ord Gbp0.25 | 313486904 | BARC | $290,387.68 |
 |
| Webster Financial Corp | 947890109 | WBS | $290,293.70 |
 |
| Pool Corporation | 73278L105 | POOL | $290,236.12 |
 |
| Fomento Econ Mexico Units (rep 1 Ser B Shs 4 D) | 224205906 | N/A | $290,218.84 |
 |
| Safeway Incorporated | 786514208 | SWY | $290,102.75 |
 |
| Arris Group Incorporated | 04269Q100 | ARRS | $290,048.87 |
 |
| Black Hills Corporation | 092113109 | BKH | $289,866.03 |
 |
| New York Community Bancorp | 649445103 | NYCB | $289,512.30 |
 |
| Casey's General Stores, Inc. | 147528103 | CASY | $289,320.55 |
 |
| Alere Incorporated | 01449J105 | ALR | $289,113.37 |
 |
| Lufkin Industries Inc | 549764108 | LUFK | $288,893.66 |
 |
| Alexion Pharmaceuticals Incorporated | 015351109 | ALXN | $288,488.07 |
 |
| Komatsu Npv | 649658002 | N/A | $288,143.88 |
 |
| Woodside Petroleum Npv | 697972008 | WPL | $287,450.12 |
 |
| West Pharmaceutical Svcs | 955306105 | WST | $286,940.89 |
 |
| Polycom Incorporated | 73172K104 | PLCM | $286,831.40 |
 |
| Vail Resorts Incorporated | 91879Q109 | MTN | $286,644.69 |
 |
| Essex Property Trust, Inc. | 297178105 | ESS | $286,634.74 |
 |
| Udr Incorporated | 902653104 | UDR | $286,092.42 |
 |
| Bbva (bilb Viz Arg) Eur0.49 | 550190904 | BBVA | $285,983.69 |
 |
| WR Grace & Company | 38388F108 | GRA | $285,607.32 |
 |
| Diebold Incorporated | 253651103 | DBD | $285,604.83 |
 |
| Thoratec Corporation | 885175307 | THOR | $285,272.52 |
 |
| Liberty Global Inc- A | 530555101 | LBTYA | $284,349.51 |
 |
| Rackspace Hosting | 750086100 | RAX | $283,278.58 |
 |
| Tesco Ord Gbp0.05 | 088470000 | TSCO | $283,126.02 |
 |
| Carpenter Technologycommon | 144285103 | CRS | $282,350.09 |
 |
| Lexington Corp. Proper. Trust | 529043101 | LXP | $282,071.24 |
 |
| Stancorp Financial Group Incorporated | 852891100 | SFG | $282,021.64 |
 |
| Wolverine World Wide, Inc. | 978097103 | WWW | $281,658.13 |
 |
| KDDI Corporation | 624899902 | N/A | $281,632.27 |
 |
| Redwood Trust Incorporated | 758075402 | RWT | $281,630.99 |
 |
| Denso Corp Npv | 664038007 | N/A | $281,380.44 |
 |
| Westfield Group Npv Stapled Units | B01BTX901 | WDC | $281,241.86 |
 |
| TRW Automotive Holdings Corporation | 87264S106 | TRW | $281,124.02 |
 |
| Reckitt Benckiser Group PLC | B24CGK904 | N/A | $279,964.67 |
 |
| Colonial Properties Trustr | 195872106 | CLP | $279,030.24 |
 |
| LVMH Eur0.30 | 406141903 | MC | $278,855.42 |
 |
| Nomura Holdings Npv | 664310000 | N/A | $278,673.82 |
 |
| Haemonetics Corporation | 405024100 | HAE | $278,394.99 |
 |
| Convergys Corporation | 212485106 | CVG | $277,040.36 |
 |
| Washington Federal Inc | 938824109 | WAFD | $276,993.87 |
 |
| PNC Financial Services Group | 693475105 | PNC | $276,791.10 |
 |
| PNM Resources Incorporated | 69349H107 | PNM | $276,411.76 |
 |
| Portfolio Recovery Association | 73640Q105 | PRAA | $276,143.87 |
 |
| Bally Technologies Incorporated | 05874B107 | BYI | $276,130.47 |
 |
| Washington Real Estate Inv | 939653101 | WRE | $275,152.25 |
 |
| Amdocs Limited | G02602103 | DOX | $274,852.31 |
 |
| Commercial Metals CO | 201723103 | CMC | $274,785.43 |
 |
| Valspar Corporation | 920355104 | VAL | $273,304.38 |
 |
| IHS Incorporated-Cl A | 451734107 | IHS | $272,887.45 |
 |
| Harris Teeter Supermarkets I Common Stock Npv | 414585109 | HTSI | $272,732.19 |
 |
| Best Buy Incorporated | 086516101 | BBY | $271,747.92 |
 |
| Chemtura Corp | 163893209 | CHMT | $271,298.35 |
 |
| Diamondrock Hospitality CO | 252784301 | DRH | $270,725.60 |
 |
| Digitalglobe Incorporated | 25389M877 | DGI | $270,377.86 |
 |
| Firstmerit Corp | 337915102 | FMER | $270,161.48 |
 |
| Devry Incorporated | 251893103 | DV | $270,131.71 |
 |
| Peabody Engr Corp Com | 704549104 | BTU | $269,369.55 |
 |
| Hubbell Incorporated | 443510201 | N/A | $269,309.93 |
 |
| The Cooper Companies Incorporated | 216648402 | COO | $269,105.87 |
 |
| Berry Petroleum Company-Cl A | 085789105 | BRY | $269,073.39 |
 |
| QEP Resources Incorporated | 74733V100 | QEP | $269,036.31 |
 |
| Liberty Ventures Ser A Common Stock | 53071M880 | LVNTA | $268,997.34 |
 |
| Fairchild Semiconductor Corp C | 303726103 | FCS | $267,499.88 |
 |
| General Cable Corporation | 369300108 | BGC | $267,401.45 |
 |
| Vishay Intertechnology Incorporated | 928298108 | VSH | $267,348.65 |
 |
| Ryman Hospitality Properties Reit | 78377T107 | RHP | $267,292.39 |
 |
| Fossil Inc | 349882100 | FOSL | $266,948.21 |
 |
| Platinum Underwriters Holdings Limited | G7127P100 | PTP | $266,053.28 |
 |
| China Life Insurance H Cny1 | 671897908 | N/A | $265,710.84 |
 |
| DSW Incorporated | 23334L102 | DSW | $265,606.83 |
 |
| Hyundai Mobis Krw5000 | 644954000 | N/A | $265,108.68 |
 |
| Gartner Incorporated | 366651107 | IT | $265,033.35 |
 |
| Toshiba Corporation | 689721009 | N/A | $264,698.45 |
 |
| Suncor Energy Incorporated New Common Stock | 867224958 | SU | $264,650.67 |
 |
| Big Lots Incorporated | 089302103 | BIG | $264,430.18 |
 |
| Pioneer Natural Resources Company | 723787107 | PXD | $263,878.91 |
 |
| Kemper Corp Common Stock Usd.1 | 488401100 | KMPR | $263,728.72 |
 |
| Overseas Chinese Bk Sgd0.5 | B0F9V2906 | OCBC | $263,406.29 |
 |
| Dominion Resources Incorporated | 25746U109 | D | $263,317.54 |
 |
| Idexx Laboratories Inc | 45168D104 | IDXX | $263,042.74 |
 |
| Iconix Brand Group Incorporated | 451055107 | ICON | $262,948.87 |
 |
| DBS Group Holdings | 617520903 | DBS | $262,636.10 |
 |
| Nuance Communications | 67020Y100 | NUAN | $262,446.76 |
 |
| Janus Capital Group Incorporated | 47102X105 | JNS | $262,270.00 |
 |
| Singapore Telecommunications Limited | B02PY2901 | ST | $262,250.35 |
 |
| Partnerre Limited | G6852T105 | PRE | $262,189.98 |
 |
| Torchmark Corporation | 891027104 | TMK | $260,815.62 |
 |
| Bridgestone Corp Npv | 613210004 | N/A | $260,361.51 |
 |
| Live Nation Incorporated | 538034109 | LYV | $260,184.15 |
 |
| Ashland Incorporated | 044209104 | ASH | $260,045.58 |
 |
| Duke Realty Corporation | 264411505 | DRE | $259,930.84 |
 |
| Universal Health Services Incorporated | 913903100 | UHS | $259,675.98 |
 |
| Tokio Marine Holding Incorporated Npv | 651312902 | N/A | $259,316.94 |
 |
| Cameron International Corporation | 13342B105 | CAM | $259,315.89 |
 |
| Cobalt International Energy Common Stock | 19075F106 | CIE | $258,426.27 |
 |
| Hsn Incorporated | 404303109 | HSNI | $258,271.49 |
 |
| Interpublic Group of Cos. | 460690100 | IPG | $258,264.84 |
 |
| Lexmark International Incorporated | 529771107 | LXK | $257,876.82 |
 |
| NextEra Energy Incorporated | 65339F101 | NEE | $257,860.09 |
 |
| NTT Docomo Npv | 612927905 | N/A | $257,161.58 |
 |
| Bank of New York Mellon Corporation | 064058100 | BK | $256,785.41 |
 |
| National Grid Ord Gbp0.11395 | B08SNH908 | N/A | $256,580.53 |
 |
| Alliant Energy Corporation | 018802108 | LNT | $255,894.19 |
 |
| United O Seas Bank Sgd1 | 691678007 | UOB | $255,787.57 |
 |
| ALLETE Incorporated | 018522300 | ALE | $255,435.62 |
 |
| Apollo Group Incorporated-Cl A | 037604105 | APOL | $255,025.76 |
 |
| Stifel Financial Corpcommo | 860630102 | SF | $255,011.79 |
 |
| NVR Incorporated | 62944T105 | NVR | $254,925.60 |
 |
| MGM Grand Incorporated | 552953101 | MGM | $254,423.25 |
 |
| Ingredion Incorporated | 457187102 | INGR | $254,374.49 |
 |
| Mentor Graphics Corporation | 587200106 | MENT | $254,121.22 |
 |
| Donaldson Company Incorporated | 257651109 | DCI | $254,082.53 |
 |
| Interdigital Incorporated | 45867G101 | IDCC | $253,583.71 |
 |
| Tech Data Corporation | 878237106 | TECD | $253,271.73 |
 |
| Capitol Federal Financial Incorporated | 14057J101 | CFFN | $253,058.84 |
 |
| The Corporate Executive Board | 21988R102 | CEB | $252,703.38 |
 |
| Telstra Corp Npv | 608728903 | TLS | $252,615.03 |
 |
| Wabtec Corporation | 929740108 | WAB | $252,603.74 |
 |
| Cavium Incorporated | 14964U108 | CAVM | $252,418.07 |
 |
| Trustmark Corporation | 898402102 | TRMK | $252,402.99 |
 |
| Federal National Mortgage Association | 302520101 | FNB | $252,116.88 |
 |
| Tetra Tech Incorporated | 88162G103 | TTEK | $252,084.63 |
 |
| Capital One Financial Corporation | 14040H105 | COF | $251,960.77 |
 |
| J2 Global Incorporated | 48123V102 | JCOM | $251,933.19 |
 |
| Mead Johnson Nutrition Corporation | 582839106 | MJN | $251,608.69 |
 |
| Viasat Incorporated | 92552V100 | VSAT | $251,368.84 |
 |
| Air Lease Corp Common Stock Usd.01 | 00912X302 | AL | $250,654.83 |
 |
| Deckers Outdoor Corporation | 243537107 | DECK | $250,644.66 |
 |
| Ulta Salon Cosmetics & Fragrance Incorporated | 90384S303 | ULTA | $250,408.86 |
 |
| General Mills Incorporated | 370334104 | GIS | $250,118.94 |
 |
| Canadian Natl Ry CO Com | 136375961 | CNR | $250,008.90 |
 |
| Goldman Sachs + CO Repo Mm Goldmn 2 | 959JGA001 | N/A | $249,637.19 |
 |
| Abn Amro Time Deposit Abnamr 4 | 973SGN005 | N/A | $249,637.19 |
 |
| Taubman Centers Incorporated | 876664103 | TCO | $249,531.95 |
 |
| Danone Eur0.25 | B1Y9TB906 | BN | $249,364.88 |
 |
| Coeur D'alene Mines Corporation | 192108504 | CDE | $249,268.06 |
 |
| ACI Worldwide Incorporated | 004498101 | ACIW | $248,788.36 |
 |
| The Travelers Companies Incorporated | 89417E109 | TRV | $248,735.05 |
 |
| Freeport McMoRan Copper & Gold Incorporated | 35671D857 | FCX | $247,651.53 |
 |
| Cracker Barrel Old Country Store Incorporated | 22410J106 | CBRL | $247,321.27 |
 |
| Reliance Steel & Aluminum Company | 759509102 | RS | $247,292.69 |
 |
| Qlik Technologies Incorporated Common Stock | 74733T105 | QLIK | $247,108.50 |
 |
| Central Jpan Rlwy Npv | 618355903 | N/A | $246,390.29 |
 |
| American Campus Communities | 024835100 | ACC | $246,351.22 |
 |
| Estee Lauder Companies Incorporated Class A | 518439104 | EL | $246,270.53 |
 |
| Sun Hung Kai Props Hkd0.50 | 685992000 | N/A | $245,893.90 |
 |
| Questcor Pharmaceuticals | 74835Y101 | QCOR | $245,786.37 |
 |
| Fidelity National Title-Cl A | 31620R105 | FNF | $245,487.95 |
 |
| Boston Properties Incorporated | 101121101 | BXP | $245,405.15 |
 |
| Charter Communication-a | 16117M305 | CHTR | $245,200.35 |
 |
| Applied Industrial Tech Incorporated | 03820C105 | AIT | $244,623.69 |
 |
| Lear Corporation | 521865204 | LEA | $244,167.30 |
 |
| Avista Corp | 05379B107 | AVA | $244,012.40 |
 |
| Wal Mart De Mexico Sab De Cv Ser V Npv | B02YZ0905 | N/A | $243,844.81 |
 |
| Martin Marietta Materials Incorporated | 573284106 | MLM | $243,760.78 |
 |
| Prudential PLC Ord Gbp0.05 | 070995006 | PRU | $243,440.68 |
 |
| Robert Half International | 770323103 | RHI | $242,771.91 |
 |
| Polypore International Incorporated | 73179V103 | PPO | $242,429.90 |
 |
| Cheesecake Factory (the)co | 163072101 | CAKE | $242,235.32 |
 |
| Resolute Forest Products Common Stock Usd.001 | 76117W109 | RFP | $242,067.62 |
 |
| Worthington Industries Inc. | 981811102 | WOR | $241,888.41 |
 |
| Anixter International Incorporated | 035290105 | AXE | $241,773.20 |
 |
| Harris Corporation | 413875105 | HRS | $241,675.21 |
 |
| Fast Retailing CO Npv | 633243902 | N/A | $241,602.81 |
 |
| Dicks Sporting Goods | 253393102 | DKS | $241,480.96 |
 |
| Thor Industries Inc | 885160101 | THO | $241,091.27 |
 |
| The Mens Wearhouse Inc | 587118100 | MW | $241,020.65 |
 |
| Herman Miller Incorporated | 600544100 | MLHR | $240,989.69 |
 |
| Cheung Kong(hldgs) Hkd0.50 | 619027006 | N/A | $240,665.85 |
 |
| Cooper Tire & Rubber Company | 216831107 | CTB | $240,655.84 |
 |
| Beacon Roofing Supply Incorporated | 073685109 | BECN | $240,289.24 |
 |
| Royal Gold Inccommon Stock | 780287108 | RGLD | $240,278.56 |
 |
| Mitsubishi Hvy Ind Npv | 659706006 | N/A | $240,073.22 |
 |
| Whole Foods Market Incorporated | 966837106 | WFM | $239,570.58 |
 |
| Kraft Foods Group Incorporated Common Stock | 50076Q106 | KRFT | $239,388.25 |
 |
| Itochu Corp Npv | 646780007 | N/A | $238,931.10 |
 |
| Dresser-Rand Group Incorporated | 261608103 | DRC | $238,841.05 |
 |
| Hni Corporation | 404251100 | HNI | $238,795.58 |
 |
| Panera Bread Company | 69840W108 | PNRA | $238,773.55 |
 |
| Markel Corporation | 570535104 | MKL | $238,684.04 |
 |
| First Solar Incorporated | 336433107 | FSLR | $238,658.15 |
 |
| Itc Holdings Corporation | 465685105 | ITC | $238,334.01 |
 |
| Wendy S Co/the Common Stock Usd.1 | 95058W100 | WEN | $237,927.52 |
 |
| Advisory Board Company | 00762W107 | ABCO | $237,748.63 |
 |
| Zurich Financial Services AG | 598381903 | ZURN | $237,638.35 |
 |
| Sally Beauty CO Incorporated | 79546E104 | SBH | $237,564.57 |
 |
| Apache Corporation | 037411105 | APA | $237,536.91 |
 |
| Morgan Stanley | 617446448 | MS | $237,474.10 |
 |
| Footlocker Inccommon Stock | 344849104 | FL | $237,134.13 |
 |
| VF Corporation | 918204108 | VFC | $236,735.18 |
 |
| Curtiss-wright Corp | 231561101 | CW | $236,635.18 |
 |
| Richemont Cie Fin Chf1 | B3DCZF902 | CFR | $236,535.77 |
 |
| Bank Montreal Que Com | 063671952 | BMO | $236,425.50 |
 |
| Raymond James Financial Incorporated | 754730109 | RJF | $236,252.82 |
 |
| Arthur J Gallagher & Company | 363576109 | AJG | $236,082.53 |
 |
| Ace Limited | H0023R105 | ACE | $235,964.85 |
 |
| Hillenbrand Incorporated | 431571108 | HI | $235,913.10 |
 |
| Xylem Incorporated W/i Common Stock | 98419M100 | XYL | $235,261.45 |
 |
| National Fuel Gas Company | 636180101 | NFG | $235,086.19 |
 |
| Nippon Telegraph & Telephone Corporation | 664137007 | N/A | $235,068.42 |
 |
| Sherwin-Williams Company | 824348106 | SHW | $234,735.21 |
 |
| Wabco Holdings Incorporated | 92927K102 | WBC | $234,274.28 |
 |
| Hasbro Incorporated | 418056107 | HAS | $233,499.19 |
 |
| Bed Bath & Beyond Inc | 075896100 | BBBY | $233,461.60 |
 |
| Schneider Electric Eur8 | 483410007 | SU | $233,416.76 |
 |
| Hong Kong Exchange Hkd1 | 626735906 | N/A | $233,384.54 |
 |
| Exelon Corporation | 30161N101 | EXC | $233,054.51 |
 |
| Marathon Petroleum Corp Common Stock | 56585A102 | MPC | $232,555.51 |
 |
| Loreal Eur0.2 | 405780909 | OR | $232,392.60 |
 |
| Itausa Inv Itau SA Pref Npv | 245877006 | N/A | $232,253.94 |
 |
| Agco Corporation | 001084102 | AGCO | $232,214.35 |
 |
| Autozone Incorporated | 053332102 | AZO | $231,921.96 |
 |
| United Stationers Incorporated | 913004107 | USTR | $231,692.37 |
 |
| Carbo Ceramics Incorporated | 140781105 | CRR | $231,266.45 |
 |
| AvalonBay Communities Incorporated | 053484101 | AVB | $231,174.87 |
 |
| Gannett Company Incorporated | 364730101 | GCI | $230,839.85 |
 |
| Express Incorporated | 30219E103 | EXPR | $230,300.94 |
 |
| Advanced Mirco Devices | 007903107 | AMD | $229,973.54 |
 |
| Shinhan Financial Krw5000 | 639750900 | N/A | $229,571.81 |
 |
| Sumitomo Rlty+dev Jpy50 | 685890006 | N/A | $228,848.64 |
 |
| Ocwen Financial Corporation | 675746309 | OCN | $228,793.97 |
 |
| Tivo Incorporated | 888706108 | TIVO | $228,587.58 |
 |
| Avnet Inc | 053807103 | AVT | $228,144.99 |
 |
| Jones Lang Lasalle Incorporated | 48020Q107 | JLL | $227,620.48 |
 |
| Brady Corporation | 104674106 | BRC | $227,567.57 |
 |
| Agl Resources Incorporated | 001204106 | GAS | $227,141.82 |
 |
| Exterran Holdings Incorporated | 30225X103 | EXH | $226,912.58 |
 |
| RenaissanceRe Holdings Limited | G7496G103 | RNR | $226,803.75 |
 |
| Acxiom Corporation | 005125109 | ACXM | $226,719.53 |
 |
| Genworth Financial Inc. | 37247D106 | GNW | $225,973.44 |
 |
| Teva Pharma Ind Ils0.1 (post Cons) | 688217900 | TEVA | $225,727.05 |
 |
| Pepco Holdings Incorporated | 713291102 | POM | $225,559.29 |
 |
| Steven Madden Lit | 556269108 | SHOO | $225,546.74 |
 |
| Facebook Incorporated A Common Stock Usd.000006 | 30303M102 | FB | $225,445.16 |
 |
| Eaton Corporation PLC | G29183103 | ETN | $225,382.51 |
 |
| Enbridge Incorporated Com | 29250N956 | ENB | $225,293.35 |
 |
| Standard Bank Group Limited | B030GJ908 | SBK | $225,264.49 |
 |
| Lockheed Martin Corporation | 539830109 | LMT | $225,046.52 |
 |
| Coinstar Incorporated | 19259P300 | CSTR | $224,852.85 |
 |
| Ensco PLC Cl A Common Stock Usd.1 | G3157S106 | ESV | $224,484.85 |
 |
| Astra International Tbk Pt Common Stock Idr50. | B800MQ901 | ASII | $224,264.40 |
 |
| Wr Berkley Corporation | 084423102 | WRB | $224,231.46 |
 |
| Syngenta AG Chf0.10 | 435664909 | SYNN | $224,083.70 |
 |
| Uti Worldwide | G87210103 | UTIW | $223,924.32 |
 |
| Marvell Technology Group Limited | G5876H105 | MRVL | $223,664.57 |
 |
| Nabors Industries Limited | G6359F103 | NBR | $223,224.75 |
 |
| Eastgroup Properties | 277276101 | EGP | $222,921.25 |
 |
| Otsuka Holdings Company Limited | B5LTM9909 | N/A | $222,335.98 |
 |
| Fastenal Company | 311900104 | FAST | $222,193.67 |
 |
| Life Time Fitness Incorporated | 53217R207 | LTM | $222,011.40 |
 |
| RF Micro Devices Incorporated | 749941100 | RFMD | $221,589.40 |
 |
| Eaton Vance Corp | 278265103 | EV | $221,414.47 |
 |
| Umpqua Holdings Corporation | 904214103 | UMPQ | $221,208.71 |
 |
| Northwestern Corporation | 668074305 | NWE | $221,163.43 |
 |
| Montpelier Re Holding Ltd | G62185106 | MRH | $220,830.29 |
 |
| Ericsson(lm)tel Ser B Npv | 595937905 | ERICB | $220,786.97 |
 |
| Bk Central Asia Idr62.50 | B01C1P906 | BBCA | $220,690.87 |
 |
| Skyworks Solutions Incorporate | 83088M102 | SWKS | $220,627.38 |
 |
| Kirby Corpcommon Stock | 497266106 | KEX | $220,058.21 |
 |
| Regency Realty Corp. | 758849103 | REG | $219,868.44 |
 |
| Royal Caribbean Cruises Limited | V7780T103 | RCL | $219,638.23 |
 |
| Cathay General Bancorp | 149150104 | CATY | $219,543.74 |
 |
| Viacom Incorporated Cl. B | 92553P201 | VIAB | $219,386.17 |
 |
| Leggett & Platt Incorporated | 524660107 | LEG | $219,213.99 |
 |
| Williams Companies Incorporated | 969457100 | WMB | $219,206.33 |
 |
| Take-two Interactive S/war | 874054109 | TTWO | $218,422.42 |
 |
| Cognex Corporation | 192422103 | CGNX | $218,180.75 |
 |
| Air Liquide(l) Eur 5.5(post Subdivision) | B1YXBJ905 | AI | $218,035.41 |
 |
| Intl Rectifier Corporation | 460254105 | IRF | $217,858.29 |
 |
| Kbr Incorporated | 48242W106 | KBR | $217,518.10 |
 |
| Axis Capital Holdings Limited | G0692U109 | AXS | $217,388.96 |
 |
| Iberiabank Corporation | 450828108 | IBKC | $217,335.33 |
 |
| Urban Outfitters Incorporated | 917047102 | URBN | $217,168.27 |
 |
| Prudential Financial Incorporated | 744320102 | PRU | $217,085.51 |
 |
| TD Ameritrade Holding Corporation | 87236Y108 | AMTD | $216,952.28 |
 |
| Mdu Res Group Incorporated | 552690109 | MDU | $216,841.80 |
 |
| Sierra Pacific Resources | 67073Y106 | NVE | $216,701.41 |
 |
| Acme Packet Incorporated | 004764106 | APKT | $216,534.15 |
 |
| First Finl Bankshares Incorporated | 32020R109 | FFIN | $216,531.42 |
 |
| MBIA Incorporated | 55262C100 | MBI | $216,444.06 |
 |
| Cypress Semiconductor | 232806109 | CY | $216,199.80 |
 |
| Ross Stores Incorporated | 778296103 | ROST | $216,138.93 |
 |
| Ww Grainger Incorporated | 384802104 | GWW | $215,962.77 |
 |
| Scotts Miracle-Gro Company | 810186106 | SMG | $215,937.16 |
 |
| Liberty Property Trust | 531172104 | LRY | $215,908.70 |
 |
| Kyocera Corp Jpy50 | 649926003 | N/A | $215,726.73 |
 |
| Anglo American PLC Usd0.54945 | B1XZS8907 | AAL | $215,646.11 |
 |
| Citrix Sytems Incorporated | 177376100 | CTXS | $215,583.19 |
 |
| Chuo Mitsui Trust Holdings Incorporated Npv | 643189905 | N/A | $215,529.41 |
 |
| Sealed Air Corporation | 81211K100 | SEE | $215,464.72 |
 |
| Cintas Corporation | 172908105 | CTAS | $215,245.66 |
 |
| Windstream Corporation | 97381W104 | WIN | $214,811.50 |
 |
| Canadian Natural Resources | 136385952 | CNQ | $214,800.25 |
 |
| Viropharma, Inc. | 928241108 | VPHM | $214,717.05 |
 |
| People's United Financial Incorporated | 712704105 | PBCT | $214,679.58 |
 |
| Sony Corporation | 682150008 | N/A | $214,244.57 |
 |
| Mitsubishi Elec Cp Jpy50 | 659704001 | N/A | $214,217.15 |
 |
| State Street Corporation | 857477103 | STT | $214,145.39 |
 |
| Deutsche Bank AG Ord Npv (regd) | 575035902 | DBK | $213,245.78 |
 |
| Regeneron Pharmaceutical | 75886F107 | REGN | $213,243.35 |
 |
| Dollar General Corporation | 256677105 | DG | $213,198.46 |
 |
| Panasonic Corporation | 657270005 | N/A | $213,039.73 |
 |
| WI Treasury Sec | 912828SK7 | N/A | $212,655.27 |
 |
| E.ON AG | 494290901 | EOAN | $212,624.57 |
 |
| U.S. Treasury N/b | 912828SP6 | N/A | $212,613.91 |
 |
| Texas Capital Bancshares Incorporated | 88224Q107 | TCBI | $212,270.88 |
 |
| MSCI Incorporated | 55354G100 | MSCI | $212,099.98 |
 |
| Covance Incorporated | 222816100 | CVD | $212,078.50 |
 |
| Oil States International Incorporated | 678026105 | OIS | $211,909.77 |
 |
| Aflac Incorporated | 001055102 | AFL | $211,835.34 |
 |
| Zions Bancorporation | 989701107 | ZION | $211,480.93 |
 |
| The Hershey Company | 427866108 | HSY | $211,475.67 |
 |
| Kubota Corp Npv | 649750007 | N/A | $210,683.75 |
 |
| Hittite Microwave Corp | 43365Y104 | HITT | $210,426.38 |
 |
| Kao Corp Npv | 648380004 | N/A | $209,950.58 |
 |
| Southwestern Energy Company | 845467109 | SWN | $209,839.67 |
 |
| Qbe Ins Group Npv | 671574002 | QBE | $209,081.85 |
 |
| Pharmacyclics Incorporated | 716933106 | PCYC | $208,896.22 |
 |
| Dolby Laboratories Inc-cl A | 25659T107 | DLB | $208,865.08 |
 |
| Lyondellbasell Indu Cl A Common Stock | N53745100 | LYB | $208,813.87 |
 |
| Linde AG | 574081907 | LIN | $208,718.05 |
 |
| Johnson Controls Incorporated | 478366107 | JCI | $208,409.44 |
 |
| Wps Resources Corp. | 45822P105 | TEG | $208,251.76 |
 |
| PMC-Sierra Incorporated | 69344F106 | PMCS | $208,250.78 |
 |
| Barclays Bank PLC | 06741XKC1 | N/A | $208,031.00 |
 |
| Dnb Nor Bank Asa Cayman Time Deposit Dnbcay 10 | 979ACK008 | N/A | $208,031.00 |
 |
| Old National Bancorp/in | 680033107 | ONB | $207,825.49 |
 |
| Ciena Corporation | 171779309 | CIEN | $207,732.23 |
 |
| Msc Industrial Direct Company | 553530106 | MSM | $207,386.88 |
 |
| Brf Brasil Foods SA Com Npv | 203699905 | N/A | $207,133.65 |
 |
| Timken CO | 887389104 | TKR | $206,886.37 |
 |
| Marathon Oil Corporation | 565849106 | MRO | $206,871.49 |
 |
| Transcanada Corp Com | 89353D958 | TRP | $206,512.77 |
 |
| Ping An Insurance H Cny1 | B01FLR903 | N/A | $206,004.13 |
 |
| Clp Holdings Hkd5 | 609701909 | N/A | $205,671.13 |
 |
| Solera Holdings Incorporated | 83421A104 | SLH | $205,557.01 |
 |
| Meredith Corporation | 589433101 | MDP | $205,499.61 |
 |
| Under Armour Incoroporated | 904311107 | UA | $205,490.08 |
 |
| Silicon Laboratories Incorporated | 826919102 | SLAB | $205,401.57 |
 |
| Brinks Co/the | 109696104 | BCO | $205,382.19 |
 |
| WMS Industries Incorporated | 929297109 | WMS | $204,992.38 |
 |
| American Electric Power Company | 025537101 | AEP | $204,972.75 |
 |
| Manpower Incorporated | 56418H100 | MAN | $204,451.24 |
 |
| Potash Corp Sask Incorporated Com | 73755L958 | POT | $204,076.89 |
 |
| Fair Isaac Inc | 303250104 | FICO | $203,566.27 |
 |
| Glacier Bancorp | 37637Q105 | GBCI | $203,476.55 |
 |
| General Dynamics Corporation | 369550108 | GD | $203,445.67 |
 |
| Jardine Matheson Usd0.25(sing Quote) | 647211002 | JM | $203,238.79 |
 |
| Packaging Corp of America | 695156109 | PKG | $202,538.53 |
 |
| Reinsurance Group of America Incorporated | 759351604 | RGA | $202,447.04 |
 |
| Rite Aid Corporation | 767754104 | RAD | $202,163.28 |
 |
| Aqua America Incorporated | 03836W103 | WTR | $202,050.01 |
 |
| Bancorpsouth Incorporated | 059692103 | BXS | $201,853.99 |
 |
| International Game Technology | 459902102 | IGT | $201,712.74 |
 |
| Omnicare Incorporated | 681904108 | OCR | $201,535.60 |
 |
| Hj Heinz Company | 423074103 | HNZ | $201,361.24 |
 |
| Mercury General Corporation | 589400100 | MCY | $201,317.89 |
 |
| El Paso Electric CO | 283677854 | EE | $201,282.14 |
 |
| Wintrust Financial Corporation | 97650W108 | WTFC | $201,111.91 |
 |
| Hynix Semiconducto Krw5000 | 645026907 | N/A | $200,654.10 |
 |
| SM Energy Company | 78454L100 | SM | $200,385.67 |
 |
| Gpo Fin Banorte Com Ser O Npv | 242104909 | N/A | $200,230.82 |
 |
| Imperial Tobacco Ord Gbp0.10 | 045449907 | IMT | $199,949.10 |
 |
| Bco Do Brasil SA Com Npv | 232859900 | N/A | $199,374.64 |
 |
| Chemed Corporation | 16359R103 | CHE | $199,213.44 |
 |
| Chubb Corporation | 171232101 | CB | $199,173.70 |
 |
| Murata Mfg CO Npv | 661040006 | N/A | $198,809.47 |
 |
| Community Health Systems | 203668108 | CYH | $198,521.23 |
 |
| Mediatek Incorporated Twd10 | 637248907 | N/A | $198,481.86 |
 |
| Newcrest Mining Limited | 663710002 | NCM | $198,361.08 |
 |
| Alexander + Baldwin Incorporated Common Stock | 014491104 | ALEX | $198,094.38 |
 |
| Valero Energy Corporation | 91913Y100 | VLO | $197,803.30 |
 |
| CSX Corporation | 126408103 | CSX | $197,716.73 |
 |
| Arrow Electronics Incorporated | 042735100 | ARW | $197,634.81 |
 |
| Ddr Corp Common Stock | 23317H102 | DDR | $197,430.42 |
 |
| Netapp Incorportated | 64110D104 | NTAP | $197,412.97 |
 |
| Mb Financial Incorporated | 55264U108 | MBFI | $197,320.62 |
 |
| Avery Dennison Corporation | 053611109 | AVY | $197,208.00 |
 |
| Amp Limited Npv | 670995901 | AMP | $197,144.56 |
 |
| BT Group | 309135903 | N/A | $197,105.11 |
 |
| Selective Insurance Groupc | 816300107 | SIGI | $196,875.18 |
 |
| Hcp Incorporated | 40414L109 | HCP | $195,928.18 |
 |
| Universal Corporation | 913456109 | UVV | $195,812.74 |
 |
| Questar Corporation | 748356102 | STR | $195,787.28 |
 |
| HCC Insurance Holdings Incorporated | 404132102 | HCC | $195,743.58 |
 |
| Rosneft Ojsc, Gdr | 67812M207 | OJSCY | $195,487.76 |
 |
| Caci International Incorporated | 127190304 | CACI | $195,441.76 |
 |
| Regal Entertainment Group | 758766109 | RGC | $195,414.37 |
 |
| Acacia Research - Acacia Tec | 003881307 | ACTG | $194,574.13 |
 |
| Hennes + Mauritz Sek0.25 Ser B | 568743900 | HMB | $194,565.13 |
 |
| Sumitomo Corporation | 685894008 | N/A | $194,172.89 |
 |
| Cdn Imperial Bk of Commerce Com | 136069952 | CM | $194,090.93 |
 |
| Dun & Bradstreet Corp | 26483E100 | DNB | $193,925.03 |
 |
| Rolls Royce Holdings PLC Common Stock Gbp.2 | B63H84900 | N/A | $193,402.49 |
 |
| FNMA | 01F030447 | N/A | $193,307.62 |
 |
| Factset Research Systems Incorporated | 303075105 | FDS | $193,299.58 |
 |
| Mueller Industries Incorporated | 624756102 | MLI | $193,125.87 |
 |
| Archer-daniels-midland Company | 039483102 | ADM | $192,997.99 |
 |
| Natl Penn Bcshs Incorporated | 637138108 | NPBC | $192,980.88 |
 |
| CF Industries Holdings, Inc | 125269100 | CF | $192,791.87 |
 |
| Veeco Instruments Incorporated | 922417100 | VECO | $191,934.80 |
 |
| Kirin Holdings CO Ltd Npv | 649374006 | N/A | $191,819.03 |
 |
| Bemis Company Incorporated | 081437105 | BMS | $191,651.51 |
 |
| Linkedin Corp - A | 53578A108 | LNKD | $191,049.41 |
 |
| BB&T Corporation | 054937107 | BBT | $190,815.56 |
 |
| Norfolk Southern Corporation | 655844108 | NSC | $190,733.60 |
 |
| Centurytel Incorporated | 156700106 | CTL | $190,447.07 |
 |
| Lancaster Colony Corp | 513847103 | LANC | $190,380.62 |
 |
| Informatica Corporation | 45666Q102 | INFA | $190,377.17 |
 |
| Tata Consultancy Services Ltd Inr1 | B01NPJ900 | TCS | $189,551.31 |
 |
| Vitamin Shoppe Incorporated | 92849E101 | VSI | $189,408.49 |
 |
| Copart Incorporated | 217204106 | CPRT | $189,220.93 |
 |
| Novatek Oao, Gdr | B0DK75903 | NVTK | $189,049.37 |
 |
| Littelfuse Inccmmn Stk | 537008104 | LFUS | $188,830.15 |
 |
| Lloyds Banking Group PLC Ord Gbp0.25 | 087061008 | LLOY | $188,746.07 |
 |
| Valmont Industries,inc. | 920253101 | VMI | $188,728.67 |
 |
| Hudson City Bancorp Incorporated | 443683107 | HCBK | $188,690.82 |
 |
| Hongkong+china Gas Hkd0.25 | 643655004 | N/A | $188,377.14 |
 |
| Total System Services Incorporated | 891906109 | TSS | $188,218.39 |
 |
| Cirrus Logic Incorporated | 172755100 | CRUS | $188,092.01 |
 |
| Minerals Technologies Incorporated | 603158106 | MTX | $187,865.20 |
 |
| Itau Unibanco Holding SA Common Stock | B03DN1901 | N/A | $187,720.03 |
 |
| Euronet Worldwide Incorporated | 298736109 | EEFT | $187,664.85 |
 |
| Suncorp Metway Npv | 658508007 | SUN | $187,450.32 |
 |
| Micros Systems Inc | 594901100 | MCRS | $186,888.98 |
 |
| Genesco Inc | 371532102 | GCO | $186,157.75 |
 |
| IAC/InterActive Corporation | 44919P508 | IACI | $186,124.12 |
 |
| Axa Eur2.29 | 708842901 | CS | $185,977.36 |
 |
| Molex Incorporated | 608554101 | MOLX | $185,774.53 |
 |
| Phh Corporation | 693320202 | PHH | $185,542.52 |
 |
| Origin Energy Npv | 621486901 | ORG | $185,318.45 |
 |
| Hess Corporation | 42809H107 | HES | $184,639.54 |
 |
| Mdc Holdings Incorporated | 552676108 | MDC | $184,474.45 |
 |
| Assured Guaranty Ltd | G0585R106 | AGO | $183,763.16 |
 |
| The Allstate Corporation | 020002101 | ALL | $183,654.94 |
 |
| Royal Dutch Shell A Shs Eur0.07 (dutch List) | B09CBL906 | RDSA | $183,159.49 |
 |
| Wp Carey Incorporated Reit Npv | 92936U109 | WPC | $182,977.09 |
 |
| Kia Motors Corp Krw5000 | 649092905 | N/A | $182,953.07 |
 |
| Credit Suisse Group | 717158901 | CSGN | $182,856.44 |
 |
| Frontier Communications Corporation | 35906A108 | FTR | $182,582.03 |
 |
| Opentable Incorporated Common Stock | 68372A104 | OPEN | $182,430.75 |
 |
| Graco Incorporated | 384109104 | GGG | $182,414.13 |
 |
| MetroPCS Communications Incorporated | 591708102 | PCS | $182,219.80 |
 |
| Altera Corporation | 021441100 | ALTR | $181,990.54 |
 |
| Key Energy Services Incorporated | 492914106 | KEG | $181,977.28 |
 |
| Greenhill & Company Incorporated | 395259104 | GHL | $181,747.84 |
 |
| Dell Incorporated | 24702R101 | DELL | $181,578.32 |
 |
| United Bankshares Incorporated | 909907107 | UBSI | $181,453.67 |
 |
| Gdf Suez Eur1 | B0C2CQ902 | GSZ | $181,429.71 |
 |
| Simpson Manufacturing Company Incorporated | 829073105 | SSD | $181,109.92 |
 |
| Cemex Sab De Cv Cpo Npv (rep2 A + 1b) | 240645903 | N/A | $180,370.40 |
 |
| Nordea Bank Ab Ord Eur0.39632 | 538003906 | NDA | $180,332.32 |
 |
| Sysco Corporation | 871829107 | SYY | $179,647.26 |
 |
| Marsh & Mclennan Cos Incorporated | 571748102 | MMC | $179,550.33 |
 |
| Deutsche Telekom Npv(regd) | 584235907 | DTE | $179,160.35 |
 |
| Finisar Corporation Common Stock Usd.001 | 31787A507 | FNSR | $179,126.30 |
 |
| INPEX Holdings Incorporated | B10RB1904 | N/A | $179,080.04 |
 |
| Adtran Incorporated | 00738A106 | ADTN | $179,052.65 |
 |
| SEI Investments Company | 784117103 | SEIC | $178,753.57 |
 |
| Nasdaq OMX Group Incorporated | 631103108 | NDAQ | $178,732.14 |
 |
| Barrick Gold Corp Com | 067901959 | ABX | $178,568.82 |
 |
| Oshkosh Truck Corporation | 688239201 | OSK | $178,270.62 |
 |
| New York Times Company Class A | 650111107 | NYT | $177,812.90 |
 |
| Spectra Energy Corporation | 847560109 | SE | $177,768.26 |
 |
| International Paper Company | 460146103 | IP | $177,581.66 |
 |
| SAIC Incorporated | 78390X101 | SAI | $176,666.10 |
 |
| Kb Financial Group Krw5000 | B3DF0Y902 | N/A | $176,612.94 |
 |
| Hub Group Incorporated-Cl A | 443320106 | HUBG | $176,601.90 |
 |
| Cullen/Frost Bankers Incorporated | 229899109 | CFR | $176,469.12 |
 |
| Legg Mason Incorporated | 524901105 | LM | $176,440.48 |
 |
| Wellpoint Incorporated | 94973V107 | WLP | $176,359.62 |
 |
| Privatebancorp Incorporated | 742962103 | PVTB | $176,239.79 |
 |
| Electronics For Imaging | 286082102 | EFII | $176,034.63 |
 |
| Discover Financial Services | 254709108 | DFS | $175,974.60 |
 |
| Shutterfly Incorporated | 82568P304 | SFLY | $175,852.44 |
 |
| Synaptics Incorporated | 87157D109 | SYNA | $174,946.88 |
 |
| Allied Nevada Gold Corp | 019344100 | ANV | $174,358.98 |
 |
| JX Holdings Incorporated | B627LW906 | N/A | $174,344.65 |
 |
| Validus Holdings Limited | G9319H102 | VR | $173,892.82 |
 |
| Teekay Corporation | Y8564W103 | TK | $173,868.77 |
 |
| Brown & Brown Incorporated | 115236101 | BRO | $173,662.24 |
 |
| Saks Incorporated | 79377W108 | SKS | $173,342.64 |
 |
| Orix Corporation | 666114004 | N/A | $173,037.02 |
 |
| Centrica Ord Gbp0.0617284 | B033F2900 | CNA | $172,555.00 |
 |
| Energen Corporation | 29265N108 | EGN | $172,360.96 |
 |
| Muenchener Rueckver AG | 529412900 | N/A | $172,189.64 |
 |
| Uralkali Spon Gdr Reg S Gdr | 91688E206 | URALL | $172,051.48 |
 |
| Bm+f Bovespa SA Bo Com Npv | B2RHNV906 | N/A | $171,583.88 |
 |
| Inditex Eur0.15 | 711131904 | ITX | $171,555.27 |
 |
| Level 3 Communications Incorporated Common Stock Usd.01 | 52729N308 | LVLT | $171,377.16 |
 |
| Keyence Corp Jpy50 | 649099009 | N/A | $170,883.59 |
 |
| Turkiye Garanti Bankasi Try1 | B03MYP906 | GARAN | $170,592.42 |
 |
| ON Semiconductor Corporation | 682189105 | ONNN | $170,524.63 |
 |
| Cathay Financial H Twd10 | 642566905 | N/A | $170,155.00 |
 |
| Magellan Health Services Incorporated | 559079207 | MGLN | $170,100.75 |
 |
| American Financial Group | 025932104 | AFG | $169,701.37 |
 |
| U.S. Treasury N/b | 912828TS9 | N/A | $169,441.27 |
 |
| Brambles Ltd Npv | B1FJ0C904 | BXB | $169,124.36 |
 |
| Granite Construction Incorporated | 387328107 | GVA | $168,949.01 |
 |
| Swiss Re Ltd Common Stock | ACI00MQT5 | SREN | $168,787.53 |
 |
| International Bancshares Crp | 459044103 | IBOC | $168,781.71 |
 |
| Arch Coal Inc | 039380100 | ACI | $168,749.43 |
 |
| Charles Schwab Corporation | 808513105 | SCHW | $168,546.01 |
 |
| Huntsman Corp | 447011107 | HUN | $168,307.20 |
 |
| China Shenhua Energy Cny1 H | B09N7M905 | N/A | $168,226.64 |
 |
| Hecla Mining Company | 422704106 | HL | $168,054.44 |
 |
| General Motors CO Common Stock Usd.01 | 37045V100 | GM | $167,854.65 |
 |
| Weingarten Realty Investors | 948741103 | WRI | $167,615.12 |
 |
| Assurant Incorporated | 04621X108 | AIZ | $167,500.69 |
 |
| Abm Industries Incorporated | 000957100 | ABM | $167,082.54 |
 |
| Texas Industries Incorporated | 882491103 | TXI | $166,871.11 |
 |
| Fleetcor Technologies Incorporated Common Stock Usd.001 | 339041105 | FLT | $166,813.35 |
 |
| Hdfc Bank Ltd Common Stock Inr2. | B5Q3JZ907 | HDFCB | $166,796.93 |
 |
| TECO Energy Incorporated | 872375100 | TE | $166,733.82 |
 |
| Group 1 Automotive Inc | 398905109 | GPI | $166,588.89 |
 |
| Wharf(hldgs) Hkd1 | 643557002 | N/A | $166,456.23 |
 |
| Bayerische Motoren Werke AG Eur1 | 575602909 | BMW | $166,436.54 |
 |
| China Constr Bk Corporation | 16949EMC0 | N/A | $166,424.80 |
 |
| J P Morgan Chase Putters / Dri Jpm Adjustable Var | 46636YW22 | N/A | $166,424.80 |
 |
| Skandin Ens Banken | 83051HDZ6 | N/A | $166,424.80 |
 |
| Sumitomo Tr & Bkng C | 86562W5G9 | N/A | $166,424.80 |
 |
| Goldman Sachs + CO Repo Mbs Goldmn 7 | 959JFX002 | N/A | $166,424.80 |
 |
| Societe Generale Canada Time Deposit Soccnn 1 | 959PYV001 | N/A | $166,424.80 |
 |
| Natl Bank of Kuwait NY Time Deposit Nbkkuw 4 | 986HJR002 | N/A | $166,424.80 |
 |
| Sumitomo Tr & Bkng C | 86563GR38 | N/A | $166,423.50 |
 |
| Regency Mrkts No.1 L | 7588R0RG4 | N/A | $166,412.31 |
 |
| Oversea-chinese Banking | 69033QSU3 | N/A | $166,372.09 |
 |
| Dai Ichi Mutual Life Insuran Common Stock | B601QS905 | N/A | $166,287.78 |
 |
| PG&E Corporation | 69331C108 | PCG | $166,194.50 |
 |
| Skandin Ens Banken AG | 83050TU82 | N/A | $166,152.97 |
 |
| Volkswagen AG Non Vtg Prf Npv | 549716900 | N/A | $165,741.02 |
 |
| Garmin Ltd Common Stock Chf10.0 | H2906T109 | GRMN | $165,660.08 |
 |
| Norilsk Nickel Mining & Metallurgical Co., ADR | B114RK905 | MNOD | $165,368.68 |
 |
| U.S. Treasury N/b Fixed | 912828PX2 | N/A | $164,902.28 |
 |
| Intersil Corporation Class A | 46069S109 | ISIL | $164,603.98 |
 |
| Newmont Mining Corporation | 651639106 | NEM | $164,228.64 |
 |
| Ralph Lauren Corp Common Stock Usd.01 | 751212101 | RL | $163,986.52 |
 |
| Acorda Therapeutics Incorporated | 00484M106 | ACOR | $163,803.78 |
 |
| Werner Enterprises Inc | 950755108 | WERN | $163,797.03 |
 |
| Patterson-UTI Energy Incorporated | 703481101 | PTEN | $163,627.19 |
 |
| Marubeni Corp Npv | 656946001 | N/A | $163,512.30 |
 |
| Tibco Software Incorporated | 88632Q103 | TIBX | $163,497.47 |
 |
| Philips Elec(kon) Eur0.20 | 598662906 | PHIA | $163,371.94 |
 |
| The Buckle Incorporated | 118440106 | BKE | $163,305.55 |
 |
| Great Plains Energy Incorporated | 391164100 | GXP | $163,182.72 |
 |
| Manulife Finl Corp Com | 56501R957 | MFC | $163,074.83 |
 |
| Smc Corp Npv | 676396005 | N/A | $163,059.70 |
 |
| Asml Holding Nv Common Stock Eur.09 | ACI02GTQ9 | ASML | $162,827.11 |
 |
| Colfax Corporation | 194014106 | CFX | $162,811.66 |
 |
| Aeropostale Incorporated | 007865108 | ARO | $162,523.91 |
 |
| Baker Hughes Incorporated | 057224107 | BHI | $162,465.39 |
 |
| Oao Tatneft, Gdr | 670831205 | OAOFY | $162,205.54 |
 |
| Magnit Ojsc Sponsored Gdr Reg S | 55953Q202 | MGNT | $161,957.55 |
 |
| Sonoco Products Company | 835495102 | SON | $161,890.85 |
 |
| Daiichi Sankyo Com Npv | B0J7D9901 | N/A | $161,592.89 |
 |
| Tokyo Gas CO Npv | 689544005 | N/A | $161,574.96 |
 |
| Nhn Corp Krw500 | 656039906 | N/A | $161,355.36 |
 |
| Endo Pharmaceuticals Holdings | 29264F205 | ENDP | $161,342.42 |
 |
| Goodyear Tire & Rubber Company | 382550101 | GT | $161,339.92 |
 |
| Fortinet Incorporated Common Stock | 34959E109 | FTNT | $161,330.96 |
 |
| Allegheny Technologies Inc. | 01741R102 | ATI | $160,845.09 |
 |
| Integrated Device Technology | 458118106 | IDTI | $160,480.77 |
 |
| Qlogic Corporation | 747277101 | QLGC | $160,320.90 |
 |
| Gamestop Corporation | 36467W109 | GME | $160,221.79 |
 |
| Chunghwa Telecom Twd10 | 628784902 | N/A | $160,124.52 |
 |
| Steel Dynamics Incorporated | 858119100 | STLD | $159,863.48 |
 |
| White Mountains Insurance Group Limited | G9618E107 | WTM | $159,854.63 |
 |
| Oil + Natural Gas Inr10(demat) | 613936905 | ONGC | $159,160.80 |
 |
| Agricultural Bank of China Common Stock Cny1.0 | B60LZR903 | N/A | $159,076.10 |
 |
| Marriott Vacations World Common Stock | 57164Y107 | VAC | $158,913.76 |
 |
| Argo Group International Holdings Limited | G0464B107 | AGII | $158,783.81 |
 |
| Sirius Xm Radio Incorporated | 82967N108 | SIRI | $158,729.70 |
 |
| Keppel Corp Npv | B1VQ5C905 | KEP | $158,372.62 |
 |
| Health Care Reit Incorporated | 42217K106 | HCN | $158,348.12 |
 |
| American Eagle Outfitters | 02553E106 | AEO | $158,132.01 |
 |
| Neustar Incorporated-Cl A | 64126X201 | NSR | $158,050.28 |
 |
| Rli Corporation | 749607107 | RLI | $158,015.58 |
 |
| Vivendi SA | 483477907 | VIV | $157,702.97 |
 |
| Goldcorp Incorporated | 380956953 | G | $157,513.50 |
 |
| Xstrata Com Stk Usd0.5 | 314110909 | XTA | $157,395.15 |
 |
| Macquarie Gp Ltd Npv | B28YTC906 | MQG | $157,306.22 |
 |
| Vinci Eur2.50 (post Subdivision) | B1XH02900 | DG | $157,264.95 |
 |
| Franklin Street Properties C | 35471R106 | FSP | $157,192.51 |
 |
| Ppl Corporation | 69351T106 | PPL | $157,120.20 |
 |
| Arbitron Incorporated | 03875Q108 | ARB | $157,074.32 |
 |
| ING Groep Nv Cva Eur0.24 | 715418901 | INGA | $156,809.50 |
 |
| Link Real Estate I Npv | B0PB4M906 | N/A | $156,351.68 |
 |
| Matson Incorporated Common Stock Npv | 57686G105 | MATX | $156,013.95 |
 |
| Regis Corporation | 758932107 | RGS | $155,937.55 |
 |
| Marriott International Incorporated | 571903202 | MAR | $155,786.55 |
 |
| Cigna Corporation | 125509109 | CI | $155,468.09 |
 |
| Statoilhydro Asa Nok2.50 | 713360907 | STL | $155,452.21 |
 |
| Volcano Corporation | 928645100 | VOLC | $155,415.44 |
 |
| Sempra Energy | 816851109 | SRE | $155,283.95 |
 |
| Sands China Limited | B5B23W909 | N/A | $154,749.50 |
 |
| Telekomunikasi Ind Ser B Idr250 | B02ZK7903 | TLKM | $154,573.37 |
 |
| Corning Incorporated | 219350105 | GLW | $154,449.15 |
 |
| Exco Resources | 269279402 | XCO | $154,249.83 |
 |
| Consolidated Edison Incorporated | 209115104 | ED | $154,248.50 |
 |
| Fresh Del Monte Produce Incorporated | G36738105 | FDP | $154,112.66 |
 |
| Te Connectivity Ltd Common Stock Chf1.55 | H84989104 | TEL | $153,903.72 |
 |
| Symantec Corporation | 871503108 | SYMC | $153,717.85 |
 |
| Pernod Ricard Npv | 468232004 | RI | $153,580.65 |
 |
| Daiwa Securities Group Incorporated | 625144001 | N/A | $153,464.06 |
 |
| U.S. Treasury N/B | 912828RR3 | N/A | $153,273.15 |
 |
| Firstenergy Corporation | 337932107 | FE | $152,513.03 |
 |
| Protein Design Labs | 69329Y104 | PDLI | $152,431.57 |
 |
| S A C I Falabella Com Stk | 277167904 | FALAB | $152,420.32 |
 |
| Allied World Assurance Co. Holdings Ltd. | H01531104 | AWH | $152,221.73 |
 |
| Ezcorp Inc-cl A | 302301106 | EZPW | $152,032.99 |
 |
| Smithfield Foods Inc | 832248108 | SFD | $151,817.26 |
 |
| GNC Holdings Incorporated | 36191G107 | GNC | $151,792.03 |
 |
| Weyerhaeuser Company | 962166104 | WY | $151,630.45 |
 |
| Waste Management Incorporated | 94106L109 | WM | $151,401.84 |
 |
| Universal Display Corp Com | 91347P105 | PANL | $151,367.73 |
 |
| Nintendo CO Npv | 663955003 | N/A | $151,261.78 |
 |
| Cablevision Systems Corporation | 12686C109 | CVC | $151,182.57 |
 |
| Piedmont Office Realty Tru-a | 720190206 | PDM | $151,023.90 |
 |
| Formosa Plastic Twd10 | 634854905 | N/A | $150,626.37 |
 |
| Chimera Investment Corporation | 16934Q109 | CIM | $150,553.29 |
 |
| Commerce Bancshares Inc | 200525103 | CBSH | $150,420.41 |
 |
| Soc Generale Eur1.25 | 596651901 | GLE | $150,362.16 |
 |
| Public Service Enterprise | 744573106 | PEG | $150,102.80 |
 |
| Northrop Grumman Corporation | 666807102 | NOC | $149,670.71 |
 |
| Patterson Dental Co. | 703395103 | PDCO | $149,470.82 |
 |
| First Niagara Financial Group | 33582V108 | FNFG | $149,293.04 |
 |
| Raytheon Company | 755111507 | RTN | $148,911.62 |
 |
| Benchmark Electronics Incorporated | 08160H101 | BHE | $148,873.05 |
 |
| Eisai CO Jpy50 | 630720001 | N/A | $148,830.79 |
 |
| New Aetna Inc | 00817Y108 | AET | $148,408.54 |
 |
| The Kroger Company | 501044101 | KR | $147,866.49 |
 |
| Eads(euro Aero Def Eur1 | 401225909 | EAD | $147,299.72 |
 |
| China O/seas Land Hkd0.10 | 619215007 | N/A | $147,263.54 |
 |
| Santos Limited | 677670002 | STO | $147,135.40 |
 |
| Amcor Limited Npv | 606660009 | AMC | $147,072.48 |
 |
| Mitsui Sumitomo Gr Npv | B2Q4CS905 | N/A | $146,875.57 |
 |
| Cabela's Inc-cl A | 126804301 | CAB | $146,846.69 |
 |
| United Therapeutics Corp | 91307C102 | UTHR | $146,688.57 |
 |
| Wpx Energy Incorporated Common Stock | 98212B103 | WPX | $146,612.51 |
 |
| Grupo Televisa SA (cpo) Ptg Certs Rep 1a L D Sh | 238010904 | N/A | $146,406.37 |
 |
| FNMA | 01F030645 | N/A | $145,875.03 |
 |
| Daiwa House Inds Jpy50 | 625136007 | N/A | $145,593.95 |
 |
| Ecopetrol SA Sponsored ADR ADR | 279158109 | EC | $145,177.81 |
 |
| Macy's Incorporated | 55616P104 | M | $145,141.31 |
 |
| Old Republic Intl Corporation | 680223104 | ORI | $145,106.84 |
 |
| Itc Inr1(post Subdivision) | B0JGGP902 | ITC | $144,780.80 |
 |
| Want Want China Ho Usd0.02 | B2Q14Z904 | N/A | $144,666.74 |
 |
| Insurance Aust Grp Npv | 627102908 | IAG | $144,522.98 |
 |
| Grafttech International Limited | 384313102 | GTI | $144,368.62 |
 |
| Ryder Systems Incorporated | 783549108 | R | $144,109.82 |
 |
| Essilor Intl Eur0.18 | 721247906 | EI | $144,053.33 |
 |
| China Steel Twd10 | 619095904 | N/A | $143,893.46 |
 |
| Kellogg Company | 487836108 | K | $143,530.03 |
 |
| Hang Seng Bank Hkd5 | 640837001 | N/A | $143,436.41 |
 |
| Ultrapar Participacoes SA Common Stock Npv | B0FHTN905 | N/A | $143,213.95 |
 |
| Daikin Industries Jpy50 | 625072004 | N/A | $143,138.12 |
 |
| Lg Chemical Krw5000 | 634691901 | N/A | $142,857.90 |
 |
| Boc Hong Kong Holdings Ltd Hkd5 | 653611905 | N/A | $142,804.31 |
 |
| Asahi Breweries Npv | 605440007 | N/A | $142,753.48 |
 |
| Tesla Motors Incorporated Common Stock Usd.001 | 88160R101 | TSLA | $142,729.30 |
 |
| Applied Materials Incorporated | 038222105 | AMAT | $142,091.78 |
 |
| Air Products & Chemicals Incorporated | 009158106 | APD | $142,020.86 |
 |
| Nan Ya Plastic Twd10 | 662158906 | N/A | $141,729.43 |
 |
| U.S. Treasury N/b | 912828UA6 | N/A | $141,718.30 |
 |
| Forward Air Corporation | 349853101 | FWRD | $141,680.08 |
 |
| Knight Transportation, Inc. | 499064103 | KNX | $141,581.03 |
 |
| U.S. Treasury N/b | 912828TA8 | N/A | $141,532.58 |
 |
| U.S. Treasury N/b | 912828TZ3 | N/A | $141,488.45 |
 |
| Federal Home Loan Mortgage Company | 02R030442 | N/A | $140,806.65 |
 |
| Vivus Inc | 928551100 | VVUS | $140,740.62 |
 |
| Papa Johns International | 698813102 | PZZA | $140,526.29 |
 |
| Omnicom Group Incorporated | 681919106 | OMC | $140,391.85 |
 |
| Paccar Incorporated | 693718108 | PCAR | $140,215.32 |
 |
| Oasis Petroleum Incorporated Common Stock Usd.001 | 674215108 | OAS | $139,945.79 |
 |
| Pacwest Bancorp | 695263103 | PACW | $139,599.11 |
 |
| Broadridge Finl Solutions Incorporated | 11133T103 | BR | $139,570.46 |
 |
| Akbank Try1 | B03MN7908 | AKBNK | $138,696.28 |
 |
| Esco Technologies Inc | 296315104 | ESE | $137,994.65 |
 |
| Samsung Life Insurance CO Common Stock Krw500.0 | B12C0T906 | N/A | $137,907.12 |
 |
| The Childrens Place | 168905107 | PLCE | $137,681.37 |
 |
| FHLMC | 02R032646 | N/A | $137,668.46 |
 |
| Dunkin Brands Group Incorporated Common Stock | 265504100 | DNKN | $137,537.84 |
 |
| Cliffs Natural Resources Incorporated | 18683K101 | CLF | $137,065.52 |
 |
| Pitney Bowes Incorporated | 724479100 | PBI | $137,046.42 |
 |
| Unicredit SpA Common Stock Npv | ACI01A0K7 | UCG | $136,511.74 |
 |
| Secom CO Jpy50 | 679159004 | N/A | $136,383.98 |
 |
| Toray Inds Incorporated Npv | 689714004 | N/A | $136,027.97 |
 |
| Iberdrola SA Eur0.75 (post Subdivision) | B288C9908 | IBE | $135,807.96 |
 |
| Compass Group Ord Gbp0.10 | 053315909 | CPG | $135,799.94 |
 |
| Ingersand-Rand PLC | G47791101 | IR | $135,764.36 |
 |
| Ingram Micro Inc -cl A | 457153104 | IM | $135,706.21 |
 |
| Ameriprise Financial Incorporated | 03076C106 | AMP | $135,388.29 |
 |
| Icici Banking Inr10 (demat) | 610036907 | N/A | $135,183.63 |
 |
| Cenovus Energy Incorporated Common Stock | 15135U950 | CVE | $135,105.02 |
 |
| Gentex Corporation | 371901109 | GNTX | $134,923.83 |
 |
| Gpo Mexico SA Ser B Com Npv | 264367905 | N/A | $134,867.85 |
 |
| Glencore International W/i Common Stock Usd.01 | B4T3BW902 | GLEN | $134,585.87 |
 |
| Bco Bradesco SA Com Npv | B00FM8905 | N/A | $134,255.34 |
 |
| Fubon Financial Hl Twd10 | 641167903 | N/A | $133,852.84 |
 |
| Annaly Capital Management Incorporated | 035710409 | NLY | $133,803.35 |
 |
| Sanlam Zar0.01 | B0L675905 | SLM | $133,471.55 |
 |
| Adidas AG NPV | 403197908 | ADS | $133,462.11 |
 |
| Remgro Zar0.01 Zar0.01 | 629068909 | REM | $133,373.22 |
 |
| Hong Kong Electric Hkd1 | 643532005 | N/A | $133,362.16 |
 |
| Park National Corp | 700658107 | PRK | $133,260.38 |
 |
| Government National Mortgage Association | 01N032642 | N/A | $133,112.90 |
 |
| United States Steel Corporation | 912909108 | X | $132,979.42 |
 |
| Bk Rakyat Idr500 | 670909902 | BBRI | $132,956.32 |
 |
| City National Corporation | 178566105 | CYN | $132,763.60 |
 |
| Carnival Corporation | 143658300 | CCL | $132,547.52 |
 |
| Starz Liberty Capital Common Stock Usd.01 | 85571Q102 | STRZA | $131,703.51 |
 |
| Edison International Common | 281020107 | EIX | $130,621.17 |
 |
| McGraw-Hill Incorporated | 580645109 | MHP | $130,224.36 |
 |
| Swedbank Ab Ser A Npv | 484652904 | SWEDA | $130,107.65 |
 |
| Orient Express Hotels Limited | G67743107 | OEH | $130,037.39 |
 |
| Domtar Corporation | 257559203 | UFS | $129,558.91 |
 |
| Fifth Third Bancorp Com | 316773100 | FITB | $129,445.13 |
 |
| Reynolds American Incorporated | 761713106 | RAI | $129,339.87 |
 |
| Bk Mandiri Idr500 | 665104907 | BMRI | $129,240.25 |
 |
| Fuji Heavy Inds Npv | 635640006 | N/A | $129,007.17 |
 |
| Hyatt Hotels Corp Cl A Common Stock | 448579102 | H | $128,734.39 |
 |
| Xcel Energy Incorporated | 98389B100 | XEL | $128,540.19 |
 |
| Genpact Limited | G3922B107 | G | $128,417.08 |
 |
| Aspen Insurance Holdings Ltd | G05384105 | AHL | $128,099.54 |
 |
| Cia De Concessoes Com Npv | 284097904 | N/A | $127,885.95 |
 |
| Enel SPA | 714456902 | ENEL | $127,875.78 |
 |
| Scot + Southern En Ord Gbp0.50 | 079087003 | SSE | $127,719.44 |
 |
| Resona Holdings Incorporated Npv | 642155907 | N/A | $127,079.14 |
 |
| Cardinal Health Incorporated | 14149Y108 | CAH | $127,045.85 |
 |
| Intesa Sanpaolo | 407683002 | ISP | $126,960.60 |
 |
| E*TRADE Financial Corporation | 269246401 | ETFC | $126,665.97 |
 |
| Nucor Corporation | 670346105 | NUE | $126,486.65 |
 |
| Firstrand Ltd Zar0.01 | 660699901 | FSR | $126,402.53 |
 |
| Deutsche Post AG Npv Regd | 461785909 | DPW | $126,089.25 |
 |
| Valeant Pharmaceuticals Inte Common Stock Npv | 91911K953 | VRX | $126,068.30 |
 |
| Align Technologycommon Sto | 016255101 | ALGN | $125,359.56 |
 |
| Brookfield Asset Mgmt Incorporated Voting Shs Cl A | 112585955 | N/A | $125,357.36 |
 |
| Suzuki Motor Corporation | 686550005 | N/A | $124,977.73 |
 |
| Westpac Securities Nz Lt | 96122JBM0 | N/A | $124,829.89 |
 |
| Jp Morgan | 01399W007 | N/A | $124,818.60 |
 |
| Bank of Montreal- | 06366XQR6 | N/A | $124,818.60 |
 |
| Bank of Montreal- | 06366XWZ1 | N/A | $124,818.60 |
 |
| Bnk of Tkyo-mtbshi L | 06538FVE1 | N/A | $124,818.60 |
 |
| Dnb Nor Bank Asa | 2332K4CH5 | N/A | $124,818.60 |
 |
| Swedbank Time Deposit | 87099H002 | N/A | $124,818.60 |
 |
| Toronto-dominion | 89112WA80 | N/A | $124,818.60 |
 |
| Anz Banking Group London Time Deposit Anzlon 2 | 959FUR006 | N/A | $124,818.60 |
 |
| Sumitomo Tr & Bkng C | 86563GR20 | N/A | $124,818.08 |
 |
| Natixis U.S. Finance CO | 6323A0R26 | N/A | $124,817.31 |
 |
| Crc Funding LLC | 12622URB4 | N/A | $124,811.66 |
 |
| Crc Funding LLC | 12622URF5 | N/A | $124,808.89 |
 |
| Regency Mrkts No.1 L | 7588R0RN9 | N/A | $124,805.49 |
 |
| Victory Receivables Corporation | 92646KRQ7 | N/A | $124,801.85 |
 |
| Abn Amro Funding Usa LLC | 00084BS13 | N/A | $124,792.59 |
 |
| Prudential PLC | 7443M2RV0 | N/A | $124,792.39 |
 |
| Victory Receivables Corporation | 92646KS94 | N/A | $124,789.61 |
 |
| Ubsfin 0.00 20130514 | 90262CSE8 | N/A | $124,785.80 |
 |
| Credit Suisse NY | 2254EASP9 | N/A | $124,773.52 |
 |
| Sumitomo Mtsu Bkg Corporation | 86562KT79 | N/A | $124,764.01 |
 |
| Collateralized Coml Paper CO L | 19422FT30 | N/A | $124,729.04 |
 |
| Samsung C+t Krw5000 | 677160004 | N/A | $124,493.58 |
 |
| Anglogold Ashanti Ltd Zar0.25 | 656565900 | ANG | $124,455.87 |
 |
| Central Plains NE Energy Project Number 2 | 154871BJ5 | N/A | $124,194.50 |
 |
| First Republic Bank/San Francisco | 33616C100 | FRC | $123,880.52 |
 |
| Ajinomoto CO Incorporated Npv | 601090004 | N/A | $123,864.38 |
 |
| Jfe Holding Incorporated Npv | 654379908 | N/A | $123,651.92 |
 |
| Nitto Denko Corporation | 664180007 | N/A | $123,133.74 |
 |
| Transurban Group Stapled Units Npv | 620088906 | TCL | $122,692.55 |
 |
| Riverbed Technology Incorporated | 768573107 | RVBD | $122,665.44 |
 |
| Unibail Rodamco Se Eur5 | 707624904 | UL | $122,664.88 |
 |
| Hindustan Unilever Ltd Inr1(demat) | 626167902 | HUVR | $122,216.27 |
 |
| J P Morgan Chase Putters / Dri Jpm Adjustable Var | 46636YW89 | N/A | $122,114.19 |
 |
| Suntrust Banks Incorporated | 867914103 | STI | $121,623.40 |
 |
| Assic Generali Eur1.00 | 405671009 | G | $121,579.59 |
 |
| Brocade Communications Systems Incorporated | 111621306 | BRCD | $121,131.21 |
 |
| Surgutneftegaz | 868861105 | SGTPY | $121,127.03 |
 |
| Svenska Handelsbanken Series A Ser A Sek4.30 | 570366906 | SHBA | $120,697.28 |
 |
| Arm Hldgs Ord Gbp0.0005 | 005958905 | ARM | $120,694.71 |
 |
| AEON CO Ltd Npv | 648004000 | N/A | $120,307.34 |
 |
| Gpo Fin Inbursa SA Com Ser O Mxn1.000228 | 282239904 | N/A | $119,941.40 |
 |
| West Japan Railway Npv | 695799908 | N/A | $119,750.98 |
 |
| Surgutneftegas Sp ADR ADR | B01WHG905 | SGGD | $119,708.10 |
 |
| Sumitomo Elec Inds Npv | 685870008 | N/A | $119,703.37 |
 |
| Bae Systems Ord Gbp0.025 | 026349902 | N/A | $119,607.31 |
 |
| Hana Financial Hol Krw5000 | B0RNRF908 | N/A | $119,182.33 |
 |
| McDermott International Incorporated | 580037109 | MDR | $119,056.82 |
 |
| Oriental Land CO Ltd Npv | 664889904 | N/A | $119,000.33 |
 |
| Fuji Film Hld Corp Npv | 635652001 | N/A | $118,960.31 |
 |
| KT&G Corporation | 617507900 | N/A | $118,802.03 |
 |
| Asustek Computer Twd 10 | 605104900 | N/A | $118,600.54 |
 |
| Credicorp Limited | G2519Y108 | BAP | $117,798.93 |
 |
| Orica Ltd Npv | 645800004 | ORI | $116,797.71 |
 |
| Volvo Ab Ser B Npv (post Split) | B1QH83908 | VOLVB | $116,717.77 |
 |
| Wpp PLC Common Stock Gbp.1 | B8KF9B904 | WPP | $116,118.91 |
 |
| Netsuite Incorporated | 64118Q107 | N | $115,952.73 |
 |
| Fed Hm Ln Pc Pool C03759 | 31292LE84 | N/A | $115,854.39 |
 |
| Japan (5 Year Issue) SR Unsecured | ACI00V014 | N/A | $115,764.50 |
 |
| Verifone Holdings Incorporated | 92342Y109 | PAY | $115,640.29 |
 |
| Tidewater Inc. | 886423102 | TDW | $115,581.36 |
 |
| Samsung Fire + Mar Krw500 | 615525904 | N/A | $115,549.97 |
 |
| Realogy Holdings Corp Common Stock Usd.01 | 75605Y106 | RLGY | $114,827.20 |
 |
| Nippon Building Fd Reit | 639680909 | N/A | $114,402.59 |
 |
| Sampo Oyj Ser A Npv | 522603901 | SAMAS | $114,294.22 |
 |
| Hyundai Heavy Industries Krw5000 | 644662900 | N/A | $113,940.39 |
 |
| NII Holdings Incorporated | 62913F201 | NIHD | $113,135.39 |
 |
| France Telecom | 517617908 | FTE | $112,619.22 |
 |
| Formosa Chem+fibre Twd10 | 634871909 | N/A | $112,345.10 |
 |
| Warner Chilcott Limited | G94368100 | WCRX | $112,028.43 |
 |
| Korea Elec Power Krw5000 | 649573904 | N/A | $111,918.30 |
 |
| Canadian Pac Ry Ltd Com | 13645T951 | CP | $111,854.08 |
 |
| Cia Brasileira De Meios De Common Stock | B614LY900 | N/A | $111,476.71 |
 |
| Nikon Corp Npv | 664232006 | N/A | $111,359.96 |
 |
| Progressive Corporation | 743315103 | PGR | $111,274.45 |
 |
| China Merchants Bk H Cny1 | B1DYPZ905 | N/A | $110,707.54 |
 |
| Rwe AG (neu) Npv | 476896907 | RWE | $110,612.81 |
 |
| Asahi Kasei Corp Npv | 605460005 | N/A | $110,492.71 |
 |
| WI Treasury SEC Fixed | 912828MR8 | N/A | $110,371.74 |
 |
| Lg Electronics Incorporated Krw 5000 | 652073909 | N/A | $109,982.06 |
 |
| US Treasury N/B 07/16 1.5 | 912828QX1 | N/A | $109,845.50 |
 |
| Mazda Motor Corp Npv | 690030002 | N/A | $109,286.01 |
 |
| Mack-cali Realty Corporation | 554489104 | CLI | $109,273.49 |
 |
| Powszechna Kasa Os Pln1 | B03NGS908 | PKO | $108,887.95 |
 |
| Federal National Mortgage Association | 3138M7RK3 | N/A | $108,673.59 |
 |
| Repsol Ypf SA Eur1 | 566935904 | REP | $108,495.08 |
 |
| Rogers Communications Incorporated Cl B | 775109960 | N/A | $107,819.67 |
 |
| Oil Search Ltd Pgk0.10 | 665760005 | OSH | $107,798.22 |
 |
| Sk Energy CO Ltd Krw 5000 | B232R0909 | N/A | $107,796.85 |
 |
| Osaka Gas CO Jpy50 | 666176003 | N/A | $107,754.35 |
 |
| Nksj Holdings Incorporated Common Stock | B62G7K908 | N/A | $107,320.38 |
 |
| Impala Platinum Zar 0.025 Post Subdiv | B1FFT7902 | IMP | $107,103.80 |
 |
| U.S. Treasury N/b Fixed | 912828MP2 | N/A | $106,899.11 |
 |
| United States of Amer Treasn | 912828TB6 | N/A | $106,704.73 |
 |
| U.S. Treasury N/b | 912828SR2 | N/A | $106,153.57 |
 |
| Uni President Ent Twd10 | 670039007 | N/A | $106,014.46 |
 |
| U.S. Treasury N/b 0.25 | 912828TD2 | N/A | $106,000.29 |
 |
| U.S. Treasury N/b 0.25 | 912828TK6 | N/A | $105,958.82 |
 |
| U.S. Treasury N/b | 912828TT7 | N/A | $105,909.17 |
 |
| U.S. Treasury N/b | 912828UD0 | N/A | $105,892.52 |
 |
| Atlas Copco Ab Ser A Npv | B1QGR4907 | ATCOA | $105,839.83 |
 |
| Advanced Info Serv Thb1 (alien Market) | 641259908 | N/A | $105,777.58 |
 |
| Shoprite Hldgs Ltd Zar1.134 | 680157906 | SHP | $105,482.95 |
 |
| Chubu Elec Power Npv | 619560006 | N/A | $105,291.00 |
 |
| Holcim Chf2(regd) | 711075903 | HOLN | $105,247.11 |
 |
| Sandvik Ab Npv (post Split) | B1VQ25903 | SAND | $105,041.33 |
 |
| Lg Corp Krw5000 | 653703009 | N/A | $105,017.97 |
 |
| China Trust Finance Twd10 | 652766908 | N/A | $104,720.73 |
 |
| Federated Investors Incorporated | 314211103 | FII | $104,711.69 |
 |
| Dst Systems Incorporated | 233326107 | DST | $104,610.61 |
 |
| Uni Charm Corp Npv | 691148001 | N/A | $104,479.91 |
 |
| Hong Kong Land Hld Usd 0.10(sing Quote) | 643491905 | HKL | $104,433.17 |
 |
| Agl Energy Npv | B0ZNPN904 | AGK | $104,321.54 |
 |
| Telefonica Brasil S.a. Pref Preference | B3ZCNF901 | N/A | $104,285.63 |
 |
| Skand Enskilda Bkn Ser A Sek10 | 481334902 | SEBA | $104,266.15 |
 |
| Westfield Retail Trust Reit | ACI00C7S0 | WRT | $104,072.49 |
 |
| Tullow Oil Ord Gbp0.10 | 015008907 | TLW | $103,980.84 |
 |
| Belle International Holdings Hkd0.01 | B1WJ4X905 | N/A | $103,937.47 |
 |
| Hengan Internation Hkd10 | 613623909 | N/A | $103,896.68 |
 |
| Gpo Bimbo SA De Cv Ser A Npv | 239247901 | N/A | $103,704.69 |
 |
| Tokyu Corp Jpy50 | 689654002 | N/A | $103,573.34 |
 |
| Swatch Group | 718472905 | UHR | $103,439.92 |
 |
| Northern Trust Corporation | 665859104 | NTRS | $103,116.43 |
 |
| Mega Financial Hd Twd10 | 644406902 | N/A | $102,972.07 |
 |
| Henkel AG + CO Kgaa Non Vtg Prf Npv | 507670909 | N/A | $102,954.98 |
 |
| Malayan Bk Bhd Myr1 | 655632008 | MAY | $102,751.94 |
 |
| Sumitomo Metal Mining | 685884009 | N/A | $102,618.46 |
 |
| Asahi Glass CO Jpy50 | 605520006 | N/A | $102,405.96 |
 |
| Paychex Incorporated | 704326107 | PAYX | $102,268.68 |
 |
| Sekisui House Npv | 679390005 | N/A | $102,041.68 |
 |
| Empresas Copec SA Npv | 219602901 | COPEC | $101,993.35 |
 |
| Fujitsu Npv | 635694003 | N/A | $101,971.30 |
 |
| Hoya Corp Npv | 644150005 | N/A | $101,860.64 |
 |
| Delphi Automotive PLC | G27823106 | DLPH | $101,793.07 |
 |
| Siam Commercial Bk Thb10(alien Market) | 688993906 | N/A | $101,759.32 |
 |
| Japan Real Estate Reit | 639758903 | N/A | $101,429.70 |
 |
| Crh Ord Iep0.32(dublin Listing) | 418224002 | CRH | $101,174.19 |
 |
| T+d Holdings Incorporated Npv | 674429907 | N/A | $101,137.17 |
 |
| Jardine Strategic U.S. 0.05(sing Quote) | 647296904 | JS | $101,050.71 |
 |
| Li + Fung Hkd0.025 | 628625907 | N/A | $101,030.62 |
 |
| Delta Electronics Twd10 | 626073902 | N/A | $100,869.09 |
 |
| Ricoh CO Npv | 673822003 | N/A | $100,833.71 |
 |
| Experian PLC Ord Usd0.10 | B19NLV907 | EXPN | $100,814.44 |
 |
| Sime Darby Berhad Myr0.50 | B29TTR903 | SIME | $100,051.99 |
 |
| Ahold (kon )nv Eur 0.30 | 525260907 | AH | $100,037.12 |
 |
| Carrefour Eur2.50 | 564156909 | CA | $100,013.52 |
 |
| Stockland Reit | 685085003 | SGP | $99,818.32 |
 |
| Ipg Photonics Corporation | 44980X109 | IPGP | $99,633.64 |
 |
| Telenor Asa Ord Nok6 | 473249902 | TEL | $99,508.07 |
 |
| Vmware Incorporated | 928563402 | VMW | $99,443.26 |
 |
| Kintetsu Corp Jpy50 | 649296001 | N/A | $99,421.30 |
 |
| Swire Pacific A Hkd0.60 | 686774001 | N/A | $99,346.64 |
 |
| Erie Indemnity Company | 29530P102 | ERIE | $99,090.36 |
 |
| Coca Cola Amatil Npv(post Reconstruction) | 612345900 | CCL | $99,054.06 |
 |
| Government National Mortgage Association | 36176XUV9 | N/A | $99,021.99 |
 |
| Shire PLC Ord Gbp 0.05 | B2QKY0906 | SHP | $98,802.29 |
 |
| U.S. Treasury N/b | 912828TJ9 | N/A | $98,502.98 |
 |
| Odakyu Elec Rlwy Jpy50 | 665610002 | N/A | $98,481.60 |
 |
| Ppr Eur4 | 550507909 | PP | $98,216.98 |
 |
| Kone Corporation Npv Ord B | B09M9D905 | KNEBV | $98,213.07 |
 |
| Isuzu Motors Limited | 646710004 | N/A | $98,189.76 |
 |
| Ptt Explortn + Prd Thb1(alien Mkt) | B1359J903 | N/A | $97,902.62 |
 |
| U.S. Treasury Note | 912828KV1 | N/A | $97,749.62 |
 |
| Genting Berhad | B1VXJL905 | GENT | $97,520.95 |
 |
| Cnpc Hong Kong Limited Common Stock | 634007900 | N/A | $97,464.12 |
 |
| Bank of Yokohama Jpy50 | 698644002 | N/A | $97,209.36 |
 |
| Yamato Holdings CO Ltd Npv | 698556008 | N/A | $97,112.35 |
 |
| Sun Life Finl Incorporated Com | 866796956 | SLF | $96,941.89 |
 |
| Fresenius SE | 435209903 | FRE | $96,862.12 |
 |
| Sears Holdings Corp | 812350106 | SHLD | $96,716.53 |
 |
| Entergy Corporation | 29364G103 | ETR | $96,680.84 |
 |
| Alfa Sab De Cv Series A Npv (cpo) | 204342000 | ALFAA | $96,374.21 |
 |
| Humana Incorporated | 444859102 | HUM | $96,363.65 |
 |
| Terumo Corp Jpy50 | 688507003 | N/A | $96,361.77 |
 |
| Michelin(cgde) Eur2(regd) | 458836004 | ML | $96,329.82 |
 |
| FNMA | 3138AXLJ8 | N/A | $96,218.54 |
 |
| Western Refining Incorporated | 959319104 | WNR | $96,130.84 |
 |
| Westlake Chemical Corporation | 960413102 | WLK | $95,946.52 |
 |
| Teliasonera Ab Sek3.2 | 597838903 | TLSN | $95,675.41 |
 |
| Heineken Nv Eur1.60 | 779255900 | HEIA | $95,638.60 |
 |
| Tokyo Electron Jpy50 | 689567006 | N/A | $95,523.84 |
 |
| Hankyu Hanshin Hld Npv | 640866000 | N/A | $95,451.40 |
 |
| Banco Santander (brasil) SA Common Stock Unit | B4V5RY903 | N/A | $95,094.02 |
 |
| Nidec Corporation Jpy50 | 664068004 | N/A | $95,012.93 |
 |
| Svenska Cellulosa Ser B Npv (post Split) | B1VVGZ901 | SCAB | $94,957.01 |
 |
| Powszechny Zaklad Ubezpiecze Common Stock Pln1.0 | B63DG2904 | PZU | $94,900.70 |
 |
| Bidvest Group Ord Zar0.05 | 610008906 | BVT | $94,693.91 |
 |
| Lan Chile SA Npv | 251893905 | LAN | $94,535.11 |
 |
| Kansai Elec Power Npv | 648348001 | N/A | $94,423.12 |
 |
| Cie De St Gobain Eur4 | 738048909 | SGO | $94,250.51 |
 |
| Enersis SA Npv | 229945902 | N/A | $94,071.20 |
 |
| China Minsheng Banking H Common Stock | B57JY2909 | N/A | $93,992.35 |
 |
| Quanta Computer Twd10 | 614101905 | N/A | $93,861.95 |
 |
| Brown-forman Corp | 115637100 | N/A | $93,613.77 |
 |
| Shizuoka Bank Jpy50 | 680532009 | N/A | $93,522.33 |
 |
| China Telecom Corp H Cny1 | 655933901 | N/A | $93,496.45 |
 |
| Hang Lung Prop Hkd1 | 603050006 | N/A | $93,414.62 |
 |
| Fresh Market Inc/the | 35804H106 | TFM | $93,372.71 |
 |
| Chesapeake Energy Corporation | 165167107 | CHK | $92,965.06 |
 |
| Sm Invest Corp Php10 | B068DB908 | SM | $92,937.90 |
 |
| WI Treasury Sec Fixed | 912828NT3 | N/A | $92,762.47 |
 |
| Legal + General Gp Ord Gbp0.025 | 056039902 | LGEN | $92,530.10 |
 |
| Turkiye Halk Banka Try1 | B1WTMP900 | HALKB | $92,260.81 |
 |
| Unit Corporation | 909218109 | UNT | $92,004.55 |
 |
| Kghm Polska Miedz Pln10 Br | 526325907 | KGH | $91,709.40 |
 |
| Rakuten Incorporated Npv | 622959906 | N/A | $91,564.36 |
 |
| Ptt Public Company Thb10(alien Market) | 642039903 | N/A | $91,400.26 |
 |
| Reed Elsevier Ord Gbp0.14 | B2B0DG904 | REL | $91,360.65 |
 |
| Toyota Industries Jpy50 | 690054002 | N/A | $91,270.38 |
 |
| Axiata Group Berhad Myr1 | B2QZGV905 | N/A | $91,051.21 |
 |
| St. Jude Medical Incorporated | 790849103 | STJ | $90,350.41 |
 |
| Lg Display CO Ltd Krw5000 | B01VZN902 | N/A | $89,786.99 |
 |
| Capitaland Sgd1 | 630930907 | CAPL | $89,738.79 |
 |
| Cencosud SA Com Npv | B00R3L901 | N/A | $89,540.52 |
 |
| Old Mutual PLC Common Stock Gbp.142857 | B77J08909 | OML | $89,455.35 |
 |
| Sk Telecom Krw500 | 622487908 | N/A | $89,339.46 |
 |
| Mitsubishi Chem Hl Npv | B0JQTJ900 | N/A | $89,082.59 |
 |
| Akzo Nobel N.V. | 545831901 | AKZA | $88,987.85 |
 |
| Aisin Seiki CO Jpy50 | 601070006 | N/A | $88,893.55 |
 |
| Ambev Cia De Bebid Com Npv | 236193900 | N/A | $88,742.13 |
 |
| Republic Services Incorporated | 760759100 | RSG | $88,516.56 |
 |
| Philippine Lng Dis Php5 | 668566003 | TEL | $88,162.57 |
 |
| China Pacific Insurance Grh Common Stock Cny1.0 | B2Q5H5907 | N/A | $87,816.77 |
 |
| Htc Corporation Twd10 | 651053902 | N/A | $87,809.56 |
 |
| Sandridge Energy Incorporated | 80007P307 | SD | $87,467.56 |
 |
| Federal National Mortgage Association | 31417FYY8 | N/A | $87,459.69 |
 |
| Aspen Pharmacare Zar0.1390607 | B09C0Z907 | APN | $87,277.61 |
 |
| Wolseley PLC | B8N69M907 | WOS | $87,259.74 |
 |
| Autonation Incorporated | 05329W102 | AN | $87,232.23 |
 |
| Genting Singapore PLC Usd0.10 | 636679003 | GENS | $87,152.03 |
 |
| U.S. Treasury N/b | 912828TY6 | N/A | $86,904.04 |
 |
| Shimano Incorporated Jpy50 | 680482007 | N/A | $86,898.94 |
 |
| Kohl's Corporation | 500255104 | KSS | $86,584.83 |
 |
| Goodman Group Npv(sapled Units) | B03FYZ909 | GMG | $86,406.49 |
 |
| WI Treasury N/b | 912828SM3 | N/A | $86,358.18 |
 |
| Perusahaan Gas Negara | 671976900 | PGAS | $86,354.06 |
 |
| Nec Corp Npv | 664040003 | N/A | $86,267.82 |
 |
| Fortescue Metal Group Npv | 608625901 | FMG | $86,213.92 |
 |
| Daito Trust Const Jpy50 | 625050000 | N/A | $86,193.82 |
 |
| U.S. Treasury N/b | 912828ST8 | N/A | $86,053.19 |
 |
| Wilmar Interl Ltd Sgd0.5 | B17KC6900 | WIL | $85,795.59 |
 |
| HCA Holdings Incorporated Common Stock Usd.01 | 40412C101 | HCA | $85,663.54 |
 |
| Bharti Airtel Limited Inr5 | 644232902 | N/A | $85,493.84 |
 |
| Walter Industries Incorporated | 93317Q105 | WLT | $85,145.80 |
 |
| Tiger Brands Zar0.1 | B0J4PP909 | TBS | $85,053.33 |
 |
| GNMA | 01N042641 | N/A | $85,044.41 |
 |
| Pearson Ord Gbp0.25 | 067760009 | PSON | $84,709.20 |
 |
| Ses Fdr Each Rep 1 A Npv | B00ZQQ907 | SESG | $84,535.44 |
 |
| Rollins Incorporated | 775711104 | ROL | $84,506.07 |
 |
| C P All PLC Thb1(alien Market) | B08YDF900 | N/A | $84,295.21 |
 |
| Agrium Incorporated Com | 008916959 | AGU | $84,232.74 |
 |
| Natl Australia Bk Lt | 63253TLX4 | N/A | $84,017.04 |
 |
| Bank of Communicat H Cny1.00 | B0B8Z2908 | N/A | $83,870.55 |
 |
| Fresenius Medical Care Ag+co Eur Spread | 512907908 | FME | $83,864.75 |
 |
| Magna Intl Incorporated Cl A Sub Vtg | 559222955 | MG | $83,221.30 |
 |
| Metlife Institutional Fd Secured 144a Var | 59157BAJ1 | N/A | $83,213.90 |
 |
| Bnz Intnl Fdg Ltd | 0556X4BJ4 | N/A | $83,212.40 |
 |
| Bpcegp 0.0 20130401 | 05571BR13 | N/A | $83,212.40 |
 |
| Banco Estado Chile/ny | 05962PUY3 | N/A | $83,212.40 |
 |
| Bank of China, NY | 06119PAN9 | N/A | $83,212.40 |
 |
| Bank of Montreal- | 06366XZR6 | N/A | $83,212.40 |
 |
| Commonwealth Bk Australi | 20272ADM5 | N/A | $83,212.40 |
 |
| District Columbia Wtr & Swr Au | 25484CAR6 | N/A | $83,212.40 |
 |
| HSBC Bank PLC | 40433FAR0 | N/A | $83,212.40 |
 |
| HSBC Bank PLC | 40433FAS8 | N/A | $83,212.40 |
 |
| Mitsubishi Ufj Tr&bk NY | 60682ADB9 | N/A | $83,212.40 |
 |
| Mitsubishi Ufj Tr&bk NY | 60682ADD5 | N/A | $83,212.40 |
 |
| Mitsubishi Ufj Tr&bk NY | 60682ADM5 | N/A | $83,212.40 |
 |
| Mitsubishi Tst&bnk C | 60682AEF9 | N/A | $83,212.40 |
 |
| New York Hsg. Fin. Agy. Rb | 64986MK79 | N/A | $83,212.40 |
 |
| Nordea Bank Fld PLC | 65558EJX7 | N/A | $83,212.40 |
 |
| Norinchukin Bk | 65602NPV0 | N/A | $83,212.40 |
 |
| Norinchukin Bk | 65602NTT1 | N/A | $83,212.40 |
 |
| Royal Bk of Canada | 78009NHK5 | N/A | $83,212.40 |
 |
| Royal Bk of Canada | 78009NHS8 | N/A | $83,212.40 |
 |
| Sognny 0.38 20130410 | 83369TLB1 | N/A | $83,212.40 |
 |
| Sognny 0.38 20130411 | 83369TLF2 | N/A | $83,212.40 |
 |
| Standard Chrtrd Bnkn | 85325BUT9 | N/A | $83,212.40 |
 |
| Standard Chrtrd Bnkn | 85325BUV4 | N/A | $83,212.40 |
 |
| Sumitomo Mtsu Bkg Corporation | 86562DY46 | N/A | $83,212.40 |
 |
| Sumitomo Mtsu Bkg Corporation | 86562JAE7 | N/A | $83,212.40 |
 |
| Toronto-dominion | 89112WDG9 | N/A | $83,212.40 |
 |
| Toronto-dominion | 89112WWF0 | N/A | $83,212.40 |
 |
| Toyota Mtr Cred Frn | 89233P6L5 | N/A | $83,212.40 |
 |
| Toyota Motor Credit Corporation Unsecured Var | 89233P6Z4 | N/A | $83,212.40 |
 |
| Deutsche Bank Securities Repo Mbs Db 5 | 959JEV007 | N/A | $83,212.40 |
 |
| Westpac Secs Nz Ltd | 96122JBU2 | N/A | $83,212.40 |
 |
| Sg Americas Securities/ Repo | 972JMH002 | N/A | $83,212.40 |
 |
| Gx Clarke Co/ Repo Mbs Gxclrk Gx Clarke Co/ Repo Mbs Gxclrk | 972KEJ004 | N/A | $83,212.40 |
 |
| Bank of Nova Scotia Nya/ Repo Bank of Nova Scotia Nya/ Repo | 972KNJ004 | N/A | $83,212.40 |
 |
| HSBC Securities Usa Incorporated Repo Ust Hsbcsu 8 | 988BYQ008 | N/A | $83,212.40 |
 |
| Alpine Securitzation | 02086LR24 | N/A | $83,211.98 |
 |
| Cppib Capital Incorporated | 12624CR30 | N/A | $83,211.61 |
 |
| Alpine Securitzation | 02086LR32 | N/A | $83,211.57 |
 |
| Socnam 0.000 20130402 | 83365RR23 | N/A | $83,211.54 |
 |
| Gotham Fdg Corporation | 38346LR57 | N/A | $83,210.46 |
 |
| Liberty Funding LLC | 53127TR96 | N/A | $83,209.07 |
 |
| Liberty Street Fdg LLC | 53127TRA3 | N/A | $83,208.65 |
 |
| Govco LLC | 38362VRC9 | N/A | $83,207.31 |
 |
| Westpac Banking Corporation | 9612C4EQ0 | N/A | $83,207.20 |
 |
| Credit Agricole North Amer Incorporated | 22532AR83 | N/A | $83,206.25 |
 |
| Govco LLC | 38362VRG0 | N/A | $83,205.81 |
 |
| Collateralized Cp CO LLC | 19422FRA6 | N/A | $83,205.74 |
 |
| Westpac Banking Corporation | 9612C4GL9 | N/A | $83,205.64 |
 |
| Credit Agricole North Amer Incorporated | 22532AR91 | N/A | $83,205.37 |
 |
| Mitsubishi Ufj Trust And Bkng 0 | ACI04PJ13 | N/A | $83,205.16 |
 |
| Nationwide Building Soc | 6385E0RC9 | N/A | $83,204.52 |
 |
| State Street Boston | 85747JRN9 | N/A | $83,203.66 |
 |
| Working Cap. Man. CO | 98137RRK8 | N/A | $83,203.24 |
 |
| Sinochem Cp Co. Ltd. | 82936MRS9 | N/A | $83,202.00 |
 |
| Regency Mrkts No.1 L | 7588R0RV1 | N/A | $83,200.75 |
 |
| Gotham Funding Corporation | 38346LRV0 | N/A | $83,199.45 |
 |
| Gotham Fdg Corporation | 38346LS15 | N/A | $83,198.53 |
 |
| Lexingtn Pkr Cap CO Ll | 52952LRJ3 | N/A | $83,197.47 |
 |
| Surrey Funding Corporation | 86888MS99 | N/A | $83,194.83 |
 |
| Psp Capital Incorporated | 69370ASE5 | N/A | $83,194.51 |
 |
| Psp Capital Incorporated | 69370ASF2 | N/A | $83,194.09 |
 |
| Caisse Centrale Djdn | 1280C2S91 | N/A | $83,193.95 |
 |
| Toyota Cred Puerto Rico | 8923A0SA2 | N/A | $83,193.47 |
 |
| Dnb Nor Bank Asa | 2332K0S78 | N/A | $83,192.01 |
 |
| Cppib Capital Incorporated | 12624CSX3 | N/A | $83,190.21 |
 |
| Colltrzd Coml Paper Ii | 19422CSM6 | N/A | $83,188.13 |
 |
| Deutsche Bk Finl LLC | 25153JSD3 | N/A | $83,188.13 |
 |
| Caisse Centrale Djdn | 1280C2SM2 | N/A | $83,187.55 |
 |
| Toyota Motor Credit Corporation | 89233GSP2 | N/A | $83,185.96 |
 |
| Colltrzd Coml Paper Ii | 19422CS61 | N/A | $83,185.70 |
 |
| Oversea-chinese Banking | 69033QSV1 | N/A | $83,185.59 |
 |
| Dnb Nor Bank Asa | 2332K0SM5 | N/A | $83,184.66 |
 |
| Legacy Capital LLC | 52468JS70 | N/A | $83,184.11 |
 |
| Caisse Centrale Djdn | 1280C2T33 | N/A | $83,181.82 |
 |
| Lexington Parker Capital Corporation | 52952LSA1 | N/A | $83,181.75 |
 |
| Collateralized Cp CO LLC | 19422FSN7 | N/A | $83,177.03 |
 |
| Uob Funding LLC | 90319QTK5 | N/A | $83,175.88 |
 |
| United Overseas Bk Sing | 91127PTL5 | N/A | $83,175.41 |
 |
| WI Treasury Sec. 0 | 912796AX7 | N/A | $83,175.30 |
 |
| Sydney Capital Corporation | 87123LTC6 | N/A | $83,170.79 |
 |
| Skandin Ens Banken AG | 83050TSF9 | N/A | $83,169.94 |
 |
| Treasury Bill 0.00000 | 9127957E5 | N/A | $83,168.60 |
 |
| Treasury Bill 0.00000 | 912796AZ2 | N/A | $83,166.13 |
 |
| Banco De Credito E Inversiones | 05990CS21 | N/A | $83,165.82 |
 |
| Barclays Bk PLC | 06741GRE7 | N/A | $83,165.48 |
 |
| Suncorp Group Ltd | 8672E2TC2 | N/A | $83,147.49 |
 |
| Suncorp Group Ltd | 8672E2TJ7 | N/A | $83,142.08 |
 |
| Swedbank | 87019RU12 | N/A | $83,107.23 |
 |
| Jgc Corp Jpy50 | 647346006 | N/A | $82,999.42 |
 |
| U.S. Treasury Bond | 912810QL5 | N/A | $82,758.28 |
 |
| Encana Corp | 292505955 | ECA | $82,664.94 |
 |
| Sgs SA Chf1(regd) | 482477007 | SGSN | $82,662.28 |
 |
| Lenovo Group Ltd Hkd0.025 | 621808906 | N/A | $82,440.64 |
 |
| Lancaster OH Port Authority Gas Series 2008 | 514401AA6 | N/A | $82,380.27 |
 |
| Montgomery County TN Public Building Authority Tennessee County Loan Pool | 613679AE9 | N/A | $82,380.27 |
 |
| Telus Corp Com | 87971M962 | T | $82,279.36 |
 |
| Assa Abloy Sek1 Ser B | 569878903 | ASSAB | $82,169.59 |
 |
| FNMA | 31416XQ78 | N/A | $82,083.69 |
 |
| Ono Pharmaceutical Jpy50 | 666010004 | N/A | $81,774.09 |
 |
| U.S. Treasury Note | 912828ND8 | N/A | $81,716.32 |
 |
| Jacksonville Fl Capital Proj R Jacgen 10/34 Adjustable Var | 46936EAJ0 | N/A | $81,548.15 |
 |
| Federal National Mortgage Association | 31417C7D1 | N/A | $81,395.30 |
 |
| Taiwan Mobile CO Twd10 | 629049909 | N/A | $81,210.68 |
 |
| Industrias Penoles Npv | 244820908 | N/A | $81,067.46 |
 |
| Dnb Nor Asa Nok10 | 426330007 | DNB | $81,012.08 |
 |
| FNMA | 31418U4U5 | N/A | $80,868.97 |
 |
| Samsung Heavy Kswn5000 | 677221905 | N/A | $80,858.64 |
 |
| Morningstar Incorporated | 617700109 | MORN | $80,849.91 |
 |
| Arca Continental Sab De Cv Common Stock Npv | 282388909 | N/A | $80,692.04 |
 |
| Bok Financial Corp | 05561Q201 | BOKF | $80,365.85 |
 |
| Aviva PLC Ord Gbp0.25 | 021623004 | N/A | $79,749.07 |
 |
| Shionogi + CO Npv | 680468006 | N/A | $79,612.31 |
 |
| Seadrill Ltd Usd2 | B09RMQ900 | SDRL | $79,462.78 |
 |
| Crescent Pt Energy Corp Common Stock | 22576C952 | CPG | $78,957.37 |
 |
| Uk Govt 4.75pct Stk Gbp100 | B24FF0II3 | N/A | $78,770.46 |
 |
| Lg Household + Healt Krw5000 | 634445902 | N/A | $78,752.03 |
 |
| Br Malls Participacoes SA Common Stock Npv | B1RYG5906 | N/A | $78,600.42 |
 |
| Emp Nac Electricid Npv | 229935903 | N/A | $78,552.77 |
 |
| Semen Gresik(pers) Idr1000 | 679523001 | SMGR | $78,491.06 |
 |
| Henderson Land Dev Hkd2 | 642053003 | N/A | $78,486.29 |
 |
| Sun Pharmaceutical Inr5 | 658248901 | SUNP | $78,467.50 |
 |
| Chiba Bank Jpy50 | 619056005 | N/A | $78,354.76 |
 |
| Grupo Modelo SA De Cv Series C Npv | 238053904 | N/A | $78,288.05 |
 |
| Souza Cruz (cia) Com Npv | 283214005 | N/A | $78,232.22 |
 |
| Teck Cominco Ltd Npv Cad | 878742956 | N/A | $78,091.94 |
 |
| Bexar County TX Health Facilities | 088357AA6 | N/A | $78,011.62 |
 |
| Quimica Y Minera Prf Ser B | 271830903 | N/A | $77,970.76 |
 |
| U.S. Treasury Note | 912828LJ7 | N/A | $77,850.93 |
 |
| Gerdau SA Siderurg Prf Npv | 264551904 | N/A | $77,566.63 |
 |
| Dish Network Corporation | 25470M109 | DISH | $77,537.23 |
 |
| Talisman Energy Incorporated Com | 87425E954 | TLM | $77,500.12 |
 |
| Dentsu Incorporated Npv | 641628904 | N/A | $77,410.79 |
 |
| Makita Corp Npv | 655580009 | N/A | $77,392.30 |
 |
| General Growth Properties | 370023103 | GGP | $77,339.92 |
 |
| Federal National Mortgage Association | 31417Y6B8 | N/A | $77,252.44 |
 |
| U.S. Treasury N/b Fixed | 912828PC8 | N/A | $77,191.53 |
 |
| CA Incorporated | 12673P105 | CA | $76,995.38 |
 |
| Tobu Railway CO Jpy50 | 689516003 | N/A | $76,978.34 |
 |
| China Unicom Hong Kong Ltd Hkd0.1 | 626383905 | N/A | $76,893.29 |
 |
| Dai Nippon Printng Npv | 625090006 | N/A | $76,569.20 |
 |
| Fed Hm Ln Pc Pool G05792 | 3128M7XV3 | N/A | $76,392.69 |
 |
| Renault (regie Nationale) Eur3.81 | 471279901 | RNO | $76,338.00 |
 |
| British Sky Broadcast Ord Gbp0.50 | 014119903 | BSY | $76,325.04 |
 |
| Gpt Group Real Estate | 636586000 | GPT | $76,290.68 |
 |
| Yahoo Japan Corp Jpy50000 | 608484903 | N/A | $76,151.10 |
 |
| Standard Life Ord Gbp0.10 | B16KPT907 | N/A | $76,067.94 |
 |
| Gold Fields Zar0.50 | 628021909 | GFI | $75,985.76 |
 |
| Toyota Tsusho Corp Npv | 690058003 | N/A | $75,443.78 |
 |
| Cemig Cia Energ Mg Pref Brl5.00 | B1YBRG902 | N/A | $75,291.02 |
 |
| Olympus Corp Npv | 665880001 | N/A | $74,726.24 |
 |
| Nokia Oyj Eur0.06 | 590294906 | N/A | $74,495.38 |
 |
| Bce Incorporated Com New | 05534B950 | BCE | $74,340.38 |
 |
| Public Bk Bhd Myr1 | B012W4901 | PBK | $74,312.27 |
 |
| WI Treasury Sec Fixed | 912828PM6 | N/A | $74,175.04 |
 |
| Bk Polska Kasa Opieki Grupa Pln1 | 547311902 | PEO | $74,069.40 |
 |
| Continental Resources Incorporated | 212015101 | CLR | $74,068.06 |
 |
| Turkcell Iletisim Try1 | B03MYN901 | TCELL | $74,024.79 |
 |
| U.S. Treasury N/b | 912828RC6 | N/A | $73,948.53 |
 |
| Guess Incorporated | 401617105 | GES | $73,858.88 |
 |
| Turkiye Is Bankasi Ser C Try1 | B03MYS900 | ISCTR | $73,830.69 |
 |
| Cia Saneamento Basico De Sp Common Stock Npv | B1YCHL900 | N/A | $73,739.80 |
 |
| China Resources Land Limited Hkd0.10 | 619376908 | N/A | $73,712.63 |
 |
| Cimb Group Holdings Berhad Myr1 | 607574001 | CIMB | $73,648.44 |
 |
| Government National Mortgage Association | 36179MX39 | N/A | $73,622.29 |
 |
| Federal National Mortgage Association | 31417DAT0 | N/A | $73,595.04 |
 |
| Thomson Reuters Corporation Com | 884903956 | TRI | $73,231.50 |
 |
| National Bk CDA Montreal Que Com | 633067954 | NA | $72,982.62 |
 |
| Government National Mortgage Association | 36178WGL7 | N/A | $72,935.97 |
 |
| Galaxy Entertainme Hkd0.10 | 646587006 | N/A | $72,921.13 |
 |
| New World Devel CO Hkd1 | 663376002 | N/A | $72,731.86 |
 |
| Tenaga Nasional Myr1 | 690461009 | TNB | $72,719.62 |
 |
| Absa Group Zar2 | B0DR0K902 | ASA | $72,609.01 |
 |
| Continental AG Ord Npv | 459858908 | CON | $72,548.15 |
 |
| U.S. Treasury N/b | 912828RY8 | N/A | $72,490.00 |
 |
| Fed Hm Ln Pc Pool Q14468 | 3132HQ6D9 | N/A | $72,414.57 |
 |
| Federal National Mortgage Association | 31417ECK5 | N/A | $72,368.24 |
 |
| Js Group Corp Npv | 690021001 | N/A | $72,198.31 |
 |
| Coca Cola Femsa Sab Ser L Common Stock Npv | 214189904 | KOFL | $72,124.70 |
 |
| Arcelormittal Euro.01 | B03XPL901 | MT | $71,921.79 |
 |
| Federal National Mortgage Association | 31417D2J1 | N/A | $71,901.45 |
 |
| Investor Ab Ser B Npv | 567959903 | INVEB | $71,766.00 |
 |
| Vtb Bank Ojsc Gdr Reg S Depository Receipt | 46630Q202 | VTBR | $71,615.54 |
 |
| Fed Hm Ln Pc Pool Q12090 | 3132HNKB4 | N/A | $71,470.16 |
 |
| China Res Pwr Hldg Hkd1 | 671156909 | N/A | $71,313.47 |
 |
| Haci Omer Sabanci Hldgs A S Try1 | B03N0C900 | SAHOL | $71,190.43 |
 |
| U.S. Treasury N/b 0.625 | 912828QU7 | N/A | $71,100.57 |
 |
| Fed Hm Ln Pc Pool A96174 | 3129442F7 | N/A | $71,042.01 |
 |
| Deutsche Boerse | 702196908 | N/A | $70,971.94 |
 |
| Isetan Mitsukoshi Npv | B2Q4CL900 | N/A | $70,956.22 |
 |
| Cia Brasileira De Dis Pref Preference | B5VGS7904 | N/A | $70,724.40 |
 |
| FNMA | 31416M2T0 | N/A | $70,703.70 |
 |
| Reed Elsevier Nv Eur0.06 | 414881904 | REN | $70,700.26 |
 |
| Maxis Bhd Common Stock Myr.1 | B5387L905 | MAXIS | $70,426.27 |
 |
| Government National Mortgage Association | 36241LNL6 | N/A | $70,385.80 |
 |
| Imperial Hldgs Zar0.04 | B095WZ907 | IPL | $70,284.98 |
 |
| U.S. Treasury N/b | 912828TR1 | N/A | $70,235.91 |
 |
| Shiseido CO Jpy50 | 680526001 | N/A | $69,874.95 |
 |
| U.S. Treasury Note | 912828KD1 | N/A | $69,813.32 |
 |
| Publicis Groupe SA Eur0.40 | 438042905 | PUB | $69,544.13 |
 |
| Amadeus It Holding SA A Shs Common Stock | B3MSM2900 | AMS | $69,324.00 |
 |
| Danske Bank A/s Dkk10 | 458882909 | N/A | $69,304.45 |
 |
| Lafarge Eur4 | 450270004 | LG | $69,242.55 |
 |
| U.S. Treasury Bond | 912810QD3 | N/A | $69,241.66 |
 |
| Japan 315 Fixed | B5MF3XII7 | N/A | $69,190.63 |
 |
| Omron Corp Npv | 665942009 | N/A | $69,173.41 |
 |
| Tingyi(cayman Isla Usd 0. 005 | 690355904 | N/A | $69,125.98 |
 |
| Porsche Automobil Holding Se Non Vtg Prf Npv | 710106907 | N/A | $68,813.46 |
 |
| Fed Hm Ln Pc Pool A87997 | 3129343E0 | N/A | $68,667.35 |
 |
| Keihin Elec Exp Rl Jpy50 | 648730000 | N/A | $68,359.64 |
 |
| Yamana Gold Incorporated | 98462Y951 | YRI | $67,919.35 |
 |
| Picc Property + CA H Cny1 | 670625904 | N/A | $67,917.61 |
 |
| Japan 105(5 Year Issue) Sr Unsecured 0.2 | ACI022Z91 | N/A | $67,837.02 |
 |
| Singapore Press HD SGD0.20 | B01289907 | SPH | $67,794.14 |
 |
| Japan 87 5 Year Issue Fixed 0.5 | B540R5II5 | N/A | $67,750.54 |
 |
| Axis Bank Inr10 | 613648906 | AXSB | $67,727.58 |
 |
| Advanced Semicondt Twd10 (ase) | 605607902 | N/A | $67,637.34 |
 |
| Fed Hm Ln Pc Pool A97184 | 3129456V5 | N/A | $67,594.52 |
 |
| Sk Corp Krw5000 | 698837903 | N/A | $67,495.08 |
 |
| Kasikornbank Pcl Thb10 (alien Market) | 688879907 | N/A | $67,487.44 |
 |
| Aegon Nv Eur0.12 | 592737902 | AGN | $67,469.37 |
 |
| Natura Cosmeticos | B014K5907 | N/A | $67,450.93 |
 |
| Samsung Elec Mech Krw5000 | 677168908 | N/A | $67,235.01 |
 |
| China Dev Fin Hldg Twd10 | 643175904 | N/A | $67,212.00 |
 |
| Sekisui Chemical Npv | 679382002 | N/A | $67,188.82 |
 |
| Koninklijke Dsm Nv Eur1.5 | B0HZL9902 | DSM | $66,982.94 |
 |
| Lotte Shopping Cen Krw5000 | B0WGPZ905 | N/A | $66,981.33 |
 |
| Kingfisher Ord Gbp0.157142857 | 331952903 | KGF | $66,905.99 |
 |
| Polski Koncern Naf Pln1.25 | 581006905 | PKN | $66,733.96 |
 |
| Compania de Minas Buenaventura SA | 204448104 | BVN | $66,584.69 |
 |
| Lend Lease Group Npv | 651200008 | LLC | $66,512.67 |
 |
| Silver Wheaton Corp Com | 828336958 | SLW | $66,362.31 |
 |
| Bim Birlesik Magaz Try1 | B0D000905 | BIMAS | $66,233.42 |
 |
| Mirvac Group Stapled Secs | 616197901 | MGR | $66,126.74 |
 |
| Catamaran Corp Common Stock Npv | 148887953 | CCT | $65,854.25 |
 |
| Tpk Holding CO Ltd Common Stock | B5T7VM900 | N/A | $65,840.11 |
 |
| Sonic Healthcare Ltd Npv | 682112909 | SHL | $65,678.94 |
 |
| Kawasaki Heavy Ind Npv | 648462000 | N/A | $65,555.05 |
 |
| A P Moller Maersk Ser B Dkk1000 | 425304003 | N/A | $65,396.10 |
 |
| Cez Czk100 | 562403907 | CEZ | $65,324.89 |
 |
| Thai Bevergae Publ Thb1 | B15F66900 | THBEV | $65,287.04 |
 |
| Lawson Jpy50 | 626691901 | N/A | $65,255.62 |
 |
| WI Treasury N/b Fixed | 912828LY4 | N/A | $64,802.91 |
 |
| Global Logistic Properties L Common Stock Npv | B4KJWS902 | GLP | $64,752.95 |
 |
| Yuanta Finl Holds Twd10 | 642411904 | N/A | $64,536.11 |
 |
| China Citic Bk H Cny 1 | B1W0JF909 | N/A | $64,526.79 |
 |
| Sumitomo Chemical Npv | 685856007 | N/A | $64,503.59 |
 |
| Dexus Property Gp Real Estate | B033YN903 | DXS | $64,319.45 |
 |
| Asciano Group Npv(stapled) | B1YC5L903 | AIO | $64,310.90 |
 |
| Utd Micro Elect Twd10 | 691662902 | N/A | $64,257.27 |
 |
| U.S. Treasury Note | 912828KQ2 | N/A | $63,768.70 |
 |
| Samsung Sdi Krw5000 | 677164907 | N/A | $63,750.92 |
 |
| Woolworths Hldgs Zar0.0015 | B06KZ9902 | WHL | $63,722.50 |
 |
| Technip Npv | 487416901 | TEC | $63,708.97 |
 |
| Yakult Honsha CO Jpy50 | 698511003 | N/A | $63,541.12 |
 |
| Japan Retail Fund Japan Retail Fund Inv Reit | 651334906 | N/A | $63,498.35 |
 |
| Sjm Holdings Ltd Hkd 1.00 | B2NR3Y904 | N/A | $63,237.47 |
 |
| Computershare Reg Npv(post Rec) | 618041909 | CPU | $63,111.65 |
 |
| Truworths Internat Zar0.00015 | 611348905 | TRU | $63,029.97 |
 |
| Next Group Ord Gbp0.10 | 320898901 | NXT | $62,986.61 |
 |
| Imperial Oil Ltd Com New | 453038960 | IMO | $62,912.46 |
 |
| Smith + Nephew Ord Usd0.20 | 092232909 | N/A | $62,656.38 |
 |
| Safran SA Eur0.20 | B058TZ909 | SAF | $62,228.53 |
 |
| Shinsei Bank Npv | 673093902 | N/A | $62,004.63 |
 |
| Mexichem Sab De Cv Common Stock Npv | 243476900 | N/A | $61,907.21 |
 |
| Steinhoff Intl Hld Zar0.005 | 612793901 | SHF | $61,661.58 |
 |
| Innolux Display CO Twd10 | B0CC0M902 | N/A | $61,654.57 |
 |
| Federal National Mortgage Association | 3138A2VV8 | N/A | $61,583.99 |
 |
| Apa Group Npv | 624730909 | APA | $61,553.96 |
 |
| Empresas Cmpc Npv | 219601903 | CMPC | $61,500.20 |
 |
| China Comm Constr H Cny1 | B1JKTQ905 | N/A | $61,361.02 |
 |
| Canadian Oil Sands Ltd Common Stock Npv | 13643E956 | COS | $61,356.06 |
 |
| Singapore Exchange Sgd0.01 | 630386902 | SGX | $61,284.49 |
 |
| Keio Corp Jpy50 | 648736007 | N/A | $61,245.70 |
 |
| Korea Zinc Krw5000 | 649542909 | N/A | $61,170.52 |
 |
| Japan 308 (10 Yr Issue) Fixed | B5VRB5II3 | N/A | $61,069.17 |
 |
| Kuraray CO Npv | 649766003 | N/A | $61,064.25 |
 |
| Worleyparsons Limited Npv | 656247905 | WOR | $61,059.84 |
 |
| Hyundai Eng +const Krw5000 | 645098005 | N/A | $60,955.87 |
 |
| Legrand SA Eur4 | B11ZRK906 | LR | $60,904.81 |
 |
| Beiersdorf AG Npv | 510740905 | BEI | $60,766.87 |
 |
| Cfs Retail Prop Npv | 636137903 | CFX | $60,701.51 |
 |
| Swisscom AG Chf1 (regd) | 553397902 | SCMN | $60,637.40 |
 |
| Crown Ltd Npv | B29LCJ906 | CWN | $60,632.67 |
 |
| State Bk of India Inr10(demat) | 610079907 | SBIN | $60,579.94 |
 |
| Ioi Corp Myr0.10 | B1Y3WG904 | IOI | $60,554.85 |
 |
| Land Secs Gp Ord Gbp.10 | 318094901 | LAND | $60,519.89 |
 |
| Shaw Communications Cl B Nv | 82028K952 | N/A | $60,321.60 |
 |
| Kyushu Elec Power Npv | 649980000 | N/A | $60,213.42 |
 |
| Mtr Corp Hkd1 | 629005901 | N/A | $60,194.21 |
 |
| Government National Mortgage Association | 36179MAY6 | N/A | $60,180.69 |
 |
| Osaka Securities Exchange CO Common Stock | 674388905 | N/A | $60,162.50 |
 |
| U.S. Treasury Bond | 912810QE1 | N/A | $59,949.43 |
 |
| Anhui Conch Cement H Cny1 | 608039905 | N/A | $59,893.29 |
 |
| WM Morrison Supermarkets plc | 060431004 | MRW | $59,637.01 |
 |
| Incitec Pivot Npv | 667304901 | IPL | $59,612.91 |
 |
| Sysmex Corp Jpy50 | 688380906 | N/A | $59,591.23 |
 |
| Singapore Tech Eng Sgd0.10 | 604321901 | STE | $59,579.59 |
 |
| Bco Santander Chil Com Npv | 200025906 | BSAN | $59,547.01 |
 |
| First Financial Ho Twd10 | 658011903 | N/A | $59,444.75 |
 |
| GNMA Pool 713866 | 36297KCB5 | N/A | $59,441.03 |
 |
| Indocement Tunggal Idr500 | 645486903 | INTP | $59,409.58 |
 |
| Associated British Foods PLC Ord Gbp0.05 15/22p | 067312900 | ABF | $59,374.87 |
 |
| Chugai Pharm CO Npv | 619640006 | N/A | $59,321.61 |
 |
| Ayala Land Incorporated Php1 | 605511906 | ALI | $59,086.82 |
 |
| U.S. Treasury N/b Fixed | 912828ME7 | N/A | $58,926.82 |
 |
| Fed Hm Ln Pc Pool G18415 | 3128MMN90 | N/A | $58,733.72 |
 |
| James Hardie Inds Npv Chess Eur0.5 | 641297908 | JHX | $58,597.69 |
 |
| Japan 110 Fixed | B40R3KII6 | N/A | $58,518.07 |
 |
| Kerry Group A Ord I0.10(dublin List) | 451957906 | KYG | $58,344.10 |
 |
| Kinross Gold Corporation -Canadian Exchange | 496902958 | K | $58,243.00 |
 |
| FNMA | 01F052649 | N/A | $57,843.95 |
 |
| Toppan Printing CO Jpy50 | 689702009 | N/A | $57,833.28 |
 |
| Carlsberg B Dkk20 | 416921005 | CARLB | $57,784.51 |
 |
| Formosa Petrochemi Twd10 | 671871903 | N/A | $57,558.87 |
 |
| E Mart CO Ltd Common Stock Krw5000. | ACI00M683 | N/A | $57,466.99 |
 |
| Marks + Spencer Gp Ord Gbp0.25 | 312748908 | MKS | $57,444.20 |
 |
| Nippon Express CO Jpy50 | 664212008 | N/A | $57,437.25 |
 |
| U.S. Treasury N/b Fixed | 912810QK7 | N/A | $57,367.70 |
 |
| U.S. Treasury Note | 912828JR2 | N/A | $57,329.04 |
 |
| Uk Tsy 1 2017 Bonds 1. | B7F9S9II1 | N/A | $57,310.59 |
 |
| Noble Group Limited | B01CLC903 | NOBL | $57,238.39 |
 |
| Givaudan AG Chf10 | 598061901 | GIVN | $57,197.20 |
 |
| Henkel Ag+ CO Kgaa Npv (br) | 500246905 | HEN | $57,196.63 |
 |
| Heidelbergcement Npv | 512067901 | HEI | $57,144.50 |
 |
| Fiat Industrial Common Stock Eur1.5 | ACI00E6X6 | FI | $57,069.54 |
 |
| Japan 320(10 Yr Issue) Sr Unsecured 1. | ACI01C9H1 | N/A | $57,064.74 |
 |
| U.S. Treasury N/b Fixed | 912828PK0 | N/A | $56,845.36 |
 |
| Power Corp CDA Common Stock | 739239952 | POW | $56,725.32 |
 |
| China Mengniu Dairy Hkd0.1 | B01B1L907 | N/A | $56,533.21 |
 |
| Intercontinental Hotels Grou Common Stock Gbp.458967 | B85KYF903 | IHG | $56,490.34 |
 |
| Tdk Corp Npv50 | 686930009 | N/A | $56,434.43 |
 |
| Hua Nan Financial Twd10 | 641187901 | N/A | $56,391.47 |
 |
| Japan (govt Of) 1.7pct Bds | B24C8CII2 | N/A | $56,278.22 |
 |
| Sino Land CO Hkd1.00 | 681042008 | N/A | $56,140.87 |
 |
| Fukuoka Financial Npv | B1TK1Y907 | N/A | $56,098.77 |
 |
| Japan (govt) 1.7pct Bds Jpy50000 | B1TNQTII6 | N/A | $55,882.46 |
 |
| Shoppers Drug Mart Corp Com | 82509W954 | SC | $55,862.02 |
 |
| Atlas Copco Ab Ser B Npv (post Split) | B1QGR7900 | ATCOB | $55,753.57 |
 |
| De Master Blenders 1753 | ACI022F69 | DE | $55,618.10 |
 |
| Nedbank Group Ltd R1 | 662800903 | NED | $55,617.68 |
 |
| Skf Ab Ser B Npv | B1Q3J3907 | SKFB | $55,572.82 |
 |
| U.S. Treasury Bond | 912810QH4 | N/A | $55,502.83 |
 |
| Government National Mortgage Association | 36179M5L0 | N/A | $55,478.81 |
 |
| Government National Mortgage Association | 36202FY67 | N/A | $55,422.78 |
 |
| Lite On Technology Twd10 | 651948903 | N/A | $55,332.02 |
 |
| Bk of Philip Islan Php10 | 607496908 | BPI | $55,110.78 |
 |
| Taisho Pharmaceutical Holdin Common Stock | B3QX5G903 | N/A | $55,056.97 |
 |
| Geberit New Ord Chf0.10 Regd Post Subd | B1WGG9901 | GEBN | $55,049.43 |
 |
| Orion Corp Krw5000 | 689684900 | N/A | $55,000.71 |
 |
| Federal National Mortgage Association | 3138AFCT5 | N/A | $54,834.84 |
 |
| Merck Kgaa Ord Npv | 474184900 | MRK | $54,706.90 |
 |
| Lojas Americanas SA | 251671905 | N/A | $54,693.54 |
 |
| Ihi Corp Jpy50 | 646698001 | N/A | $54,663.71 |
 |
| Life Healthcare Group Holdin Common Stock | B4K90R901 | LHC | $54,582.42 |
 |
| Dongfeng Motor Grp CO Ltd H Common Stock Cny1.0 | B0PH5N900 | N/A | $54,536.07 |
 |
| Burberry Group Ord Gbp.0005 | 317430908 | BRBY | $54,459.17 |
 |
| Yamada Denki CO Jpy50 | 698502002 | N/A | $54,291.14 |
 |
| Capita PLC | B23K0M900 | CPI | $54,197.18 |
 |
| Coal India Ltd Common Stock Inr10. | ACI00AD24 | COAL | $54,038.26 |
 |
| Activision Blizzard Incorporated | 00507V109 | ATVI | $54,032.64 |
 |
| GNMA Pool 487721 | 36210BYS8 | N/A | $54,029.37 |
 |
| Bendigo And Adelaide Bank Ltd Npv | 609128905 | BEN | $53,977.95 |
 |
| Hutchison Port Holdings Trst Unit Npv | B56ZM7906 | HPHT | $53,935.41 |
 |
| U.S. Treasury Bond | 912810QA9 | N/A | $53,925.81 |
 |
| Fletcher Building Npv | 634160907 | FBU | $53,841.09 |
 |
| Bank of East Asia Hkd 2.50 | 607564002 | N/A | $53,840.69 |
 |
| Hirose Electric Jpy50 | 642872006 | N/A | $53,767.48 |
 |
| Bank Negara Indonesia Pt Common Stock Idr7500.0 | 672712908 | BBNI | $53,766.67 |
 |
| Daihatsu Motor CO Jpy50 | 625030002 | N/A | $53,759.89 |
 |
| First Quantum Minerals Ltd Com | 335934956 | FM | $53,756.00 |
 |
| Hyundai Steel Krw5000 | 646185900 | N/A | $53,742.02 |
 |
| Cheng Shin Ind Twd10 | 619022007 | N/A | $53,646.41 |
 |
| Tatts Group Ltd Npv | B0CRCP909 | TTS | $53,627.94 |
 |
| Hang Lung Group Ltd Hkd1 | 640835005 | N/A | $53,624.09 |
 |
| Choice Hotels International Incorporated | 169905106 | CHH | $53,584.38 |
 |
| Ramsay Health Care Npv | 604199901 | RHC | $53,559.00 |
 |
| Mahindra + Mahindra Inr10 (demat) | 610018905 | MM | $53,549.15 |
 |
| Nippon Yusen Kk Npv | 664396009 | N/A | $53,540.49 |
 |
| Taiwan Cement Twd10 | 686993908 | N/A | $53,451.77 |
 |
| Fortum Oyj Eur3.40 | 557955903 | N/A | $53,354.37 |
 |
| FNMA | 01F042640 | N/A | $53,330.24 |
 |
| Woori Finance Krw5000 | 653426908 | N/A | $53,259.23 |
 |
| Tenaris S.a. Usd1 | 753851906 | TEN | $53,233.46 |
 |
| Fed Hm Ln Pc Pool J13947 | 3128PTL45 | N/A | $53,189.94 |
 |
| Solvay Npv | 482110004 | SOLB | $53,143.26 |
 |
| Celltrion Incorporated Common Stock Krw500.0 | B0C5YV900 | N/A | $53,085.61 |
 |
| Tata Motors Ltd Common Stock Inr10. | ACI00US24 | TTMT | $53,033.11 |
 |
| Ageas Common Stock Npv | B86S2N903 | AGS | $52,991.28 |
 |
| NTT Data Corp Jpy5000 | 612563908 | N/A | $52,956.80 |
 |
| Japan (govt Of) 1.9pct Ser 50 | 634471II9 | N/A | $52,903.74 |
 |
| Federal National Mortgage Association | 31417KYN1 | N/A | $52,881.52 |
 |
| Hankook Tire CO Ltd Common Stock Krw500. | ACI02DOT5 | N/A | $52,852.43 |
 |
| Puttable Floating Option Taxab Putgen Adjustable Var | 74703SBQ5 | N/A | $52,798.27 |
 |
| Japan 106(5 Year Issue) Sr Unsecured 0.2 | ACI02FIK6 | N/A | $52,764.39 |
 |
| Digi.com Berhad Myr0.1 | 608624904 | DIGI | $52,748.09 |
 |
| Tupras(t Petr Raf) Try1 | B03MYT908 | TUPRS | $52,635.58 |
 |
| Japan 88 (5 Year Issue) Fixed | 981NSHII8 | N/A | $52,593.50 |
 |
| Infineon Technologies AG Ord Npv | 588950907 | IFX | $52,575.97 |
 |
| Hisamitsu Pharm CO Npv | 642890008 | N/A | $52,573.20 |
 |
| Samsung Engineer Krw5000 | 676523905 | N/A | $52,400.48 |
 |
| Kt Corporation Krw5000 | 650531908 | N/A | $52,372.88 |
 |
| Joyo Bank Jpy50 | 647976000 | N/A | $52,321.37 |
 |
| Petronas Chemicals Group Bhd Common Stock Myr.1 | B5KQGT909 | PCHEM | $52,247.01 |
 |
| Kumba Iron Ore Ltd Npv | B1G426907 | KIO | $52,052.92 |
 |
| Jardine Cycle & Carriage Limited | 624226007 | JCNC | $52,043.44 |
 |
| U.S. Treasury Notes | 912828CJ7 | N/A | $52,028.91 |
 |
| Big C Supercenter Thb10 (alien Mkt) | 676393903 | N/A | $51,973.30 |
 |
| Christian Dior Eur2 | 406139907 | CDI | $51,806.83 |
 |
| Japan (govt Of) 1.6pct Bds Jpy Ser 276 | B0Y91RII4 | N/A | $51,793.90 |
 |
| Sodexo Eur4 | 706271905 | SW | $51,790.96 |
 |
| Siliconware Precis Twd10 | 680887908 | N/A | $51,727.57 |
 |
| Tokyu Land Corp Jpy50 | 689508000 | N/A | $51,724.57 |
 |
| Japan Year Issue) 03/40 Fixed | 981QFKII8 | N/A | $51,576.06 |
 |
| Nissin Foods Holdings CO Ltd Npv | 664176005 | N/A | $51,503.45 |
 |
| Credit Agricole SA Eur3 | 726261902 | ACA | $51,487.69 |
 |
| Otp Bank Huf100 | 732015904 | OTP | $51,344.39 |
 |
| Glovis Krw500 | B0V3XR904 | N/A | $51,343.21 |
 |
| Singapore Airlines Limited | 681173001 | SIA | $51,339.59 |
 |
| Capitamall Trust Npv (reit) | 642012900 | CT | $51,285.93 |
 |
| Fed Hm Ln Pc Pool A95393 | 3129437E7 | N/A | $51,280.50 |
 |
| Japan (govt Of) 2.3pct | B07G7ZII4 | N/A | $51,266.76 |
 |
| Treasury Wine Estates Ltd Common Stock | B61JC6908 | TWE | $50,930.64 |
 |
| Yamaha Motor CO Npv | 698526001 | N/A | $50,922.73 |
 |
| Vodacom Group Pty Ltd Common Stock | B65B4D905 | VOD | $50,904.61 |
 |
| Wipro Inr2 (demat) | 620605907 | WPRO | $50,867.33 |
 |
| Tim Participacoes SA Com Npv | 229256904 | N/A | $50,863.14 |
 |
| Federal National Mortgage Association | 3138A5FY3 | N/A | $50,793.49 |
 |
| Japan(govt) 1.5pct Bds Jpy100000 | B3D0G2II9 | N/A | $50,782.77 |
 |
| Japan 128(20 Year Issue) Sr Unsecured 06/31 | ACI00P1J7 | N/A | $50,773.85 |
 |
| Charoen Pokphand Indonesi Pt Common Stock Idr10. | 631534906 | CPIN | $50,745.88 |
 |
| Toll Hldgs Limited Npv | 669374902 | TOL | $50,713.84 |
 |
| Polska Grupa Energetyczna SA Common Stock Pln10.0 | B544PW909 | PGE | $50,681.58 |
 |
| WI Treasury Sec Fixed | 912828NZ9 | N/A | $50,669.54 |
 |
| Credit Saison CO Jpy50 | 659180004 | N/A | $50,660.79 |
 |
| U.S. Treasury Note | 912810QC5 | N/A | $50,652.49 |
 |
| Au Optronics Corp Twd10 | 628819906 | N/A | $50,635.36 |
 |
| Tim Hortons Incorporated Common Stock | 88706M954 | THI | $50,631.29 |
 |
| Royal Bank of Scotland Group Common Stock Gbp1. | B7T772907 | RBS | $50,621.67 |
 |
| China National Building Material Co., Ltd. | B0Y91C906 | N/A | $50,517.19 |
 |
| Mitsubishi Motor Jpy50 | 659844005 | N/A | $50,439.91 |
 |
| Intertek Group PLC Ord Gbp0.01 | 316383900 | ITRK | $50,392.65 |
 |
| Iluka Resources Npv | 695757005 | ILU | $50,323.57 |
 |
| Japan 301(10 Yr Issue) Fixed | B51BMVII2 | N/A | $50,303.10 |
 |
| Japan 94 (5 Year Issue) Fixed .6 | 982VJKII2 | N/A | $50,292.14 |
 |
| Fed Hm Ln Pc Pool G06358 | 3128M8MF8 | N/A | $50,235.88 |
 |
| Pembina Pipeline Corp Common Stock Npv | 706327954 | PPL | $50,188.43 |
 |
| Wheelock + CO Hkd0.50 | 698148004 | N/A | $50,164.86 |
 |
| Cameco Corp Com | 13321L959 | CCO | $50,135.40 |
 |
| Bdo Unibank Incorporated Common Stock Php10. | B5VJH7900 | BDO | $50,104.08 |
 |
| China Coal Energy H Cny1 | B1JNK8908 | N/A | $50,021.52 |
 |
| Wartsila B Eur3.5 | 452518905 | N/A | $49,950.41 |
 |
| Alstom Eur7 | B0DJ8Q909 | ALO | $49,870.60 |
 |
| Kabel Deutschland Holding AG Common Stock Npv | 959HBM905 | N/A | $49,857.81 |
 |
| Tohoku Elec Power Npv | 689526002 | N/A | $49,852.64 |
 |
| Fed Hm Ln Pc Pool A92487 | 312940XQ7 | N/A | $49,764.51 |
 |
| Julius Baer Group Ltd Common Stock | B4R2R5908 | BAER | $49,640.99 |
 |
| Yara International Nok1.70 | 775125909 | YAR | $49,618.35 |
 |
| Husky Energy Incorporated Com | 448055954 | HSE | $49,590.68 |
 |
| Sider Nacional Cia Com Npv | B019KX905 | N/A | $49,584.84 |
 |
| Cheil Industries Krw5000 | 618953905 | N/A | $49,565.68 |
 |
| Chugoku Elec Power Npv | 619590003 | N/A | $49,523.33 |
 |
| China Merchants Hldgs Intl Hkd0.10 | 641613005 | N/A | $49,442.30 |
 |
| Sega Sammy Holdings Incorporated Npv | B02RK0906 | N/A | $49,420.18 |
 |
| City Developments Sgd 0.50 | 619792005 | CIT | $49,240.71 |
 |
| Edp Energias Portugal Eur1 (regd) | 410359905 | EDP | $49,100.33 |
 |
| Xinao Gas Holdings Hkd0.10 | 633393905 | N/A | $48,928.68 |
 |
| U.S. Treasury N/b Fixed | 912810QN1 | N/A | $48,919.06 |
 |
| Far Eastern New Century Corp Twd10 | 633147905 | N/A | $48,915.53 |
 |
| Buoni Poliennali Del Tes Fixed | B4143GII5 | N/A | $48,881.76 |
 |
| Boral Limited New Npv | 621867902 | BLD | $48,857.09 |
 |
| K S AG Reg Common Stock Npv | ACI00RQT4 | SDF | $48,852.73 |
 |
| Brenntag AG Common Stock Npv | B4YVF5909 | BNR | $48,784.36 |
 |
| Jsr Corp Jpy50 | 647098003 | N/A | $48,748.19 |
 |
| Tokyo Elec Power Npv | 689540003 | N/A | $48,691.89 |
 |
| Government National Mortgage Association | 3620C4Q86 | N/A | $48,679.94 |
 |
| Yokohama Rubber CO Npv | 698646007 | N/A | $48,612.96 |
 |
| Mitsui O.S.K. Lines, Limited | 659758007 | N/A | $48,607.44 |
 |
| U.S. Treasury N/b | 912810QW1 | N/A | $48,565.72 |
 |
| U.S. Treasury Notes | 912828CT5 | N/A | $48,513.66 |
 |
| U.S. Treasury N/b Fixed | 912828NW6 | N/A | $48,447.19 |
 |
| Beijing Enterprises Holdings Limited | 608169900 | N/A | $48,281.93 |
 |
| Randgold Resources Ord Usd0.05 | B01C3S908 | RRS | $48,278.04 |
 |
| Konica Minolta Holdings Incorporated Npv | 649670007 | N/A | $48,205.90 |
 |
| Fairfax Finl Hldgs Ltd Sub Vtg | 303901953 | FFH | $48,184.01 |
 |
| Aboitiz Equity Ven Com Shs Php01 | 606841906 | AEV | $48,132.33 |
 |
| Southern Copper Corporation | 84265V105 | SCCO | $48,088.84 |
 |
| U.S. Treasury | 912810QS0 | N/A | $48,071.81 |
 |
| Schindler Hldg AG Ptg Cert Chf0.10(post Subd) | B11TCY906 | SCHP | $47,982.96 |
 |
| Thyssenkrupp AG Npv | 563692904 | TKA | $47,979.49 |
 |
| J Front Retailing Npv | B23TC1904 | N/A | $47,877.21 |
 |
| Genting Malaysia Bhd Myr0.10 (post Subd) | B1VXKN909 | GENM | $47,864.85 |
 |
| China Resources En Hkd1 | 697245009 | N/A | $47,723.87 |
 |
| Government National Mortgage Association | 3620ARFX4 | N/A | $47,665.15 |
 |
| S Oil Krw2500 | 640605903 | N/A | $47,662.76 |
 |
| Bureau Veritas Eur0.12 | B28DTJ907 | BVI | $47,654.19 |
 |
| Fed Hm Ln Pc Pool A92506 | 312940YB9 | N/A | $47,569.43 |
 |
| Ascendas Real Esta Npv (reit) | 656387909 | AREIT | $47,513.28 |
 |
| U.S. Treasury Notes | 912828EW6 | N/A | $47,468.50 |
 |
| Benesse Holdings Incorporated Jpy50 | 612192906 | N/A | $47,467.66 |
 |
| Far Eastone Teleco Twd10 | 642185904 | N/A | $47,453.72 |
 |
| U.S. Treasury Note | 912828LZ1 | N/A | $47,405.79 |
 |
| Japan 321 10 Year Issue 1 | ACI01PEC7 | N/A | $47,200.98 |
 |
| Namco Bandai Hldgs Npv | B0JDQD905 | N/A | $47,186.17 |
 |
| Wolters Kluwer Eur0.12 | 567151907 | WKL | $47,156.86 |
 |
| Wynn Macau Ltd Common Stock | B4JSTL903 | N/A | $47,156.27 |
 |
| Kasikornbank Pcl Thbh10 Local | 688878909 | KBANK | $47,144.34 |
 |
| Arc Resources Ltd Common Stock Npv | 00208D960 | ARX | $47,086.63 |
 |
| Discovery Hldgs Zar0.001 | 617787908 | DSY | $47,038.12 |
 |
| Huaneng Power Intl H Cny1 | 609967906 | N/A | $46,969.52 |
 |
| Country Garden Holdings Ordshs Hkd0.10 | B1VKYN902 | N/A | $46,909.37 |
 |
| Power Finl Corp Com | 73927C951 | PWF | $46,897.41 |
 |
| Santen Pharm CO Jpy50 | 677660003 | N/A | $46,872.94 |
 |
| Asics Corp Jpy50 | 605737006 | N/A | $46,779.38 |
 |
| Snam Rete Gas Eur1 | 725147904 | SRG | $46,764.38 |
 |
| Sm Prime Php1 | 681884904 | SMPH | $46,691.07 |
 |
| Oji Paper CO Jpy50 | 665770004 | N/A | $46,628.70 |
 |
| WI Treasury Sec Fixed | 912828PN4 | N/A | $46,500.59 |
 |
| Mitsubishi Tanabe Pharma Corp Jpy50 | 687098004 | N/A | $46,496.23 |
 |
| U.S. Treasury N/b Fixed | 912828LU2 | N/A | $46,430.96 |
 |
| Zoetis Incorporated Common Stock Usd.01 | 98978V103 | ZTS | $46,421.67 |
 |
| Ntpc Limited Inr10 | B037HF900 | NTPC | $46,403.31 |
 |
| Kangwon Land Incorporated Krw500 | 668344906 | N/A | $46,383.03 |
 |
| Japan 325(10 Yr Issue) Sr Unsecured 0.8 | ACI02EHL8 | N/A | $46,350.30 |
 |
| Saipem Eur1 | 476876008 | SPM | $46,341.75 |
 |
| Cheung Kong Infras Hkd1 | 621255900 | N/A | $46,334.99 |
 |
| Mitsubishi Materl Npv | 659708002 | N/A | $46,256.82 |
 |
| Cochlear Ltd Npv | 621179902 | COH | $46,254.57 |
 |
| Swire Properties Ltd Common Stock Hkd1. | B67C2G906 | N/A | $46,142.90 |
 |
| Uk (govt Of) 5pct Tsygilt Gbp100 WI | B1VWPCII1 | N/A | $46,074.02 |
 |
| Sinopac Hldg Twd10 | 652587908 | N/A | $46,030.08 |
 |
| U.S. Treasury N/b | 912810QX9 | N/A | $46,028.77 |
 |
| Japan 326(10 Yr Issue) Sr Unsecured 0.7 | ACI02SHW3 | N/A | $45,890.24 |
 |
| Novozymes A/s B Shares Common Stock Dkk2. | B798FW902 | NZYMB | $45,779.14 |
 |
| WI Treasury Sec Fixed | 912828NL0 | N/A | $45,775.85 |
 |
| Suruga Bank Jpy50 | 686432006 | N/A | $45,748.34 |
 |
| Lippo Karawaci Idr100 (post Subd) | B19HDX905 | LPKR | $45,740.99 |
 |
| Turkiye Vakiflar Try1 | B0N6YC908 | VAKBN | $45,732.92 |
 |
| Aac Technologies Holdings In Common Stock Usd.01 | B85LKS908 | N/A | $45,719.62 |
 |
| Carnival PLC Ord Usd1.66 | 312152903 | CCL | $45,703.24 |
 |
| Bank of Kyoto Jpy50 | 607575008 | N/A | $45,651.75 |
 |
| Aberdeen Asset Mgt Ord Gbp0.10 | 000312900 | ADN | $45,480.57 |
 |
| Kobe Steel Npv | 649602000 | N/A | $45,459.95 |
 |
| Federal National Mortgage Association | 31416XJ68 | N/A | $45,388.39 |
 |
| Daewoo Shipbuilding + Marine Krw5000 | 621173905 | N/A | $45,264.58 |
 |
| Kikkoman Corp Jpy50 | 649080009 | N/A | $45,259.86 |
 |
| Keisei Elec Railwy Npv | 648742005 | N/A | $45,171.55 |
 |
| Japan (2 Year Issue) Sr Unsecured 0.1 | ACI04L038 | N/A | $45,111.46 |
 |
| Japan (2 Year Issue) Sr Unsecured 0.1 | ACI02IHW5 | N/A | $45,106.32 |
 |
| Silver Bay Realty Trust Corporation Reit Usd.01 | 82735Q102 | SBY | $45,098.68 |
 |
| Federal National Mortgage Association | 3138ABKH1 | N/A | $45,068.53 |
 |
| Felda Global Ventures Common Stock Myr1. | B8L1DR904 | FGV | $45,053.42 |
 |
| Japan (government Of) 1.9pct Ser 64 | 670855II8 | N/A | $45,047.84 |
 |
| Rmb Holdings Zar0.01 | 675582902 | RMH | $44,929.87 |
 |
| Elec Power Dev Npv | B02Q32903 | N/A | $44,907.72 |
 |
| Bco Credito Invers Npv | 206935900 | BCI | $44,881.82 |
 |
| Sembcorp Industrie Sgd0.25 (post Reorg) | B08X16905 | SCI | $44,840.20 |
 |
| Komercni Banka Ord Czk500 | 451944904 | KOMB | $44,837.06 |
 |
| Japan 97 (5 Year Issue) Sr Unsecured 0.4 | 984DZAII4 | N/A | $44,767.85 |
 |
| WI Treasury Sec Fixed | 912828PA2 | N/A | $44,723.79 |
 |
| Intact Finl Corp Common Stock | 45823T957 | IFC | $44,634.39 |
 |
| China Oilfield Services, Ltd. | 656099900 | N/A | $44,622.15 |
 |
| Erste Group Bank AG Npv | 528983901 | EBS | $44,584.77 |
 |
| Sainsbury(j) Ord Gbp0.28571428 (post Rec | B019KW907 | SBRY | $44,557.09 |
 |
| Aggreko PLC Common Stock Gbp.370839 | B4WQ2Z900 | AGK | $44,401.61 |
 |
| Nsk Jpy50 | 664154002 | N/A | $44,273.25 |
 |
| U.S. Treasury Bond | 912810EL8 | N/A | $44,208.75 |
 |
| Metcash Limited Npv | B0744W900 | MTS | $44,204.88 |
 |
| Taishin Financial Twd10 | 645168907 | N/A | $44,201.10 |
 |
| Foxconn Tech CO Twd10 | 680177904 | N/A | $44,119.69 |
 |
| Cap Gemini Eur8 | 416343002 | CAP | $44,113.33 |
 |
| Orascom Constr Ind Egp5 | B03BN8900 | OCIC | $44,044.77 |
 |
| Swedish Match Npv | 504856907 | SWMA | $44,034.32 |
 |
| Adecco SA Chf1(regd) | 711072900 | ADEN | $44,025.63 |
 |
| Ryanair Holdings PLC | 783513104 | RYAAY | $43,958.61 |
 |
| Fed Hm Ln Pc Pool Q00285 | 3132GDJ60 | N/A | $43,745.84 |
 |
| Als Ltd Common Stock Npv | B86SZR908 | ALQ | $43,741.10 |
 |
| Netease.com ADR + | 64110W102 | NTES | $43,724.60 |
 |
| Smiths Group Ord Gbp0.375 | B1WY23900 | SMIN | $43,616.99 |
 |
| Japan (government) | B01KB6II0 | N/A | $43,599.67 |
 |
| Anadolu Efes Try1 | B03MNV905 | AEFES | $43,590.55 |
 |
| U.S. Treasury Bond | 912810QB7 | N/A | $43,529.38 |
 |
| Hino Motors Npv | 642830004 | N/A | $43,460.51 |
 |
| Brilliance China Automotive Common Stock Usd.01 | 618148902 | N/A | $43,341.04 |
 |
| Federation Centres Reit | B9510B909 | FDC | $43,325.29 |
 |
| Koc Hldg Try1 | B03MVJ903 | KCHOL | $43,283.75 |
 |
| Fed Hm Ln Pc Pool A95113 | 312943VE0 | N/A | $43,175.69 |
 |
| Dassault Systemes Eur1 | 533004909 | DSY | $43,169.41 |
 |
| Bradespar SA Prf Npv | B01SCS903 | N/A | $43,074.14 |
 |
| Cgi Groupe Incorporated Cl A Sub Vtg | 39945C950 | N/A | $43,071.22 |
 |
| Weir Group Ord 0.125 | 094658903 | WEIR | $43,000.64 |
 |
| Uk Tsy 1.75 2022 Bonds 1.75 | B7L9SLII7 | N/A | $42,944.87 |
 |
| Alfa Laval Ab Ord Sek10 | 733268908 | ALFA | $42,932.90 |
 |
| Severn Trent Ord Gbp0.9789 | B1FH8J905 | SVT | $42,878.76 |
 |
| Utd Tractors Idr250 Demat | 623084902 | UNTR | $42,863.60 |
 |
| Indian Oil Corp Inr10 | 625376900 | IOCL | $42,819.12 |
 |
| Universal Robina Php1 | 691951909 | URC | $42,818.53 |
 |
| Indofoods Sukses M Idr100 | 628397903 | INDF | $42,817.60 |
 |
| U.S. Treasury N/b | 912810QT8 | N/A | $42,768.07 |
 |
| United Urban Inves United Urban Invest Reit | 672383908 | N/A | $42,757.88 |
 |
| Electrolux Ab Ser B Npv (post Split) | B1KKBX907 | ELUXB | $42,750.44 |
 |
| Imi Ord Gbp0.25 | 045796000 | IMI | $42,697.86 |
 |
| FNMA | 31403C6L0 | N/A | $42,572.47 |
 |
| Sage Group Ord Gbp0.01 | 080216906 | SGE | $42,549.06 |
 |
| U.S. Treasury Note | 912828EE6 | N/A | $42,528.30 |
 |
| Compal Electronic Twd10 | 622574903 | N/A | $42,508.25 |
 |
| WI Treasury N/b Fixed 2.75 | 912828QG8 | N/A | $42,479.69 |
 |
| Sun Art Retail Group Ltd Common Stock Hkd.3 | B3MPN5908 | N/A | $42,469.56 |
 |
| Japan 327 (10 Yr Issue) Sr Unsecured 0.8 | ACI04MRV5 | N/A | $42,457.24 |
 |
| Rohm CO Npv | 674720008 | N/A | $42,444.58 |
 |
| Catcher Technology CO Ltd Twd10 | 618666903 | N/A | $42,380.00 |
 |
| WI Treasury Sec | 912828TP5 | N/A | $42,373.60 |
 |
| Hexagon Ab Ser B Npv (post Split) | B1XFTL901 | HEXAB | $42,280.40 |
 |
| Japan 305 (10 Yr Issue) Fixed | 981FLKII5 | N/A | $42,227.20 |
 |
| Japan (govt Of) 1.4pct Bds Jpy50000 | B3KB2XII4 | N/A | $42,191.47 |
 |
| Meiji Holdings CO Npv | B60DQV902 | N/A | $42,176.54 |
 |
| Japan (government Of) 1.3pct Ser 269 | B073FYII7 | N/A | $42,100.04 |
 |
| Natl Australia Bk Lt | 63253TLN6 | N/A | $42,008.82 |
 |
| WI Treasury N/b Fixed | 912828LC2 | N/A | $41,975.62 |
 |
| Luxottica Group Eur0.06 | 480065903 | LUX | $41,904.86 |
 |
| Obayashi Corp Jpy50 | 665640009 | N/A | $41,820.53 |
 |
| Kerry Properties Hkd1 | 648631901 | N/A | $41,809.22 |
 |
| Nitori CO Jpy50 | 664480902 | N/A | $41,767.06 |
 |
| Jpmorgan Chase & Company | 46625HHB9 | N/A | $41,760.50 |
 |
| United Utilities G Ord Gbp0.05 | B39J2M903 | N/A | $41,759.71 |
 |
| Eldorado Gold Corporation | 284902954 | ELD | $41,721.96 |
 |
| Techtronic Industr Ord Hkd0.1 | B0190C903 | N/A | $41,667.61 |
 |
| Japan 313 (10 Yr Issue) Fixed | 982VHQII1 | N/A | $41,654.97 |
 |
| Toyota Motor Credit Corporation Sr Unsecured Var | 89233P6E1 | N/A | $41,621.35 |
 |
| U.S. Treasury Note | 912828DM9 | N/A | $41,616.70 |
 |
| Sumitomo Mtsu Bkg Corporation | 86562D2H2 | N/A | $41,608.32 |
 |
| Asb Finance Ltd. | 0020P5DC0 | N/A | $41,606.20 |
 |
| Asb Finance Ltd. | 0020P5DF3 | N/A | $41,606.20 |
 |
| Asb Finance Ltd. | 0020P5DK2 | N/A | $41,606.20 |
 |
| Birmingham AL Special Care Facilities Finance Authority Ascension Health Series 2006-C | 010399CL5 | N/A | $41,606.20 |
 |
| Aust & Nz Banking Group | 05253MBM5 | N/A | $41,606.20 |
 |
| Bnz Intnl Fdg Ltd | 0556X4BG0 | N/A | $41,606.20 |
 |
| Bank of Montreal- | 06366XVT6 | N/A | $41,606.20 |
 |
| Barclays Bank PLC NY | 06741XGJ1 | N/A | $41,606.20 |
 |
| Barclays Bank PLC NY | 06741XGK8 | N/A | $41,606.20 |
 |
| Colorado Housing & Finance Authority | 196483AR2 | N/A | $41,606.20 |
 |
| Cook Cnty Il Coo Adjustable Var | 213185FW6 | N/A | $41,606.20 |
 |
| Federal Home Loan Bank Bonds Var | 313375WP8 | N/A | $41,606.20 |
 |
| Federal Home Loan Bank 0 | 313376DZ5 | N/A | $41,606.20 |
 |
| Harris County TX Cultural Education Facilities Hermann Health Series D-1 | 414009BD1 | N/A | $41,606.20 |
 |
| Illinois Finance Authority Resurrection Health Project Series 2005-B | 45200BPJ1 | N/A | $41,606.20 |
 |
| Indu & Coml Bnk China NY | 45580AGR5 | N/A | $41,606.20 |
 |
| Los Angeles Cnty CA Met Transn | 54472EAP0 | N/A | $41,606.20 |
 |
| Minnesota St Office of Hgr Edu Mnshgr 08/47 Adjustable Var | 60416MBA0 | N/A | $41,606.20 |
 |
| New Mexico Municipal Energy Acquisition Authority Gas Supply Series 2009 | 647207AA7 | N/A | $41,606.20 |
 |
| New York NY Nyc 04/42 Adjustable Var | 64966JE77 | N/A | $41,606.20 |
 |
| New York St Hsg Fin Agy Nyshsg 05/34 Adjustable Var | 64986MYE9 | N/A | $41,606.20 |
 |
| Ohio St Hsg Fin Agy Mtge Reven Ohshsg 09/38 Adjustable Var | 676907QC5 | N/A | $41,606.20 |
 |
| Overseas Private Inv Cor U.S. Govt Guar Var | 690353VV6 | N/A | $41,606.20 |
 |
| Pasadena Tex Indpt Sch Dist Passcd 02/35 Adjustable Var | 702333Z65 | N/A | $41,606.20 |
 |
| Pennsylvania St Public Sch Bld Pasedu 06/32 Adjustable Var | 709207ET7 | N/A | $41,606.20 |
 |
| Philadelphia Pa Auth For Indl Phidev Fixed 0.5 | 71783DAA3 | N/A | $41,606.20 |
 |
| Prvdnc Hlth + Svc Obl Gr Unsecured 10/42 Var | 743755AG5 | N/A | $41,606.20 |
 |
| Puerto Rico Sales Tax Fing Prcgen Adjustable Var | 74529JGK5 | N/A | $41,606.20 |
 |
| Puttable Floating Option Taxab Putgen 12/40 Adjustable Var | 74703SCC5 | N/A | $41,606.20 |
 |
| Oregon State Department PFOTER | 74703YTH3 | N/A | $41,606.20 |
 |
| Rbc Muni Products Incorporated Trust Rbcgen 09/33 Adjustable Var | 74926YJY8 | N/A | $41,606.20 |
 |
| RBC Municipal Products Incorporated Series E-18 | 74926YRX1 | N/A | $41,606.20 |
 |
| Rbc Muni Products Incorporated Trust Rbcgen Adjustable Var | 74926YYX3 | N/A | $41,606.20 |
 |
| Royal Bk of Canada | 78009NHR0 | N/A | $41,606.20 |
 |
| Salem County NJ Pollution Control Finance Authority Atlantic City Electric | 79410SBE5 | N/A | $41,606.20 |
 |
| San Francisco Calif City | 79770TAT5 | N/A | $41,606.20 |
 |
| San Francisco Calif City | 79770VCE1 | N/A | $41,606.20 |
 |
| South Carolina Public Service Authority | 837151AB5 | N/A | $41,606.20 |
 |
| Springfield, Il Elec. Rb | 850578QP3 | N/A | $41,606.20 |
 |
| Sumitomo Mtsu Bkg Corporation | 86562DX47 | N/A | $41,606.20 |
 |
| Sumitomo Mtsu Bkg Corporation | 86562DY87 | N/A | $41,606.20 |
 |
| Toronto-dominion | 89112WC47 | N/A | $41,606.20 |
 |
| Toronto-dominion | 89112WUB1 | N/A | $41,606.20 |
 |
| Toronto-dominion | 89112X5D3 | N/A | $41,606.20 |
 |
| Toronto-dominion | 89112XR31 | N/A | $41,606.20 |
 |
| Barclays Capital Incorporated Repo Ust Brccap 3 | 959JCB003 | N/A | $41,606.20 |
 |
| Deutsche Bank Securities Repo Mbs Db 3 | 959JET002 | N/A | $41,606.20 |
 |
| Goldman Sachs + CO Repo Mbs Goldmn 4 | 959JFU008 | N/A | $41,606.20 |
 |
| Westpac Securities Nz Lt | 96122JBQ1 | N/A | $41,606.20 |
 |
| Westpac Securities Nz Lt | 96122JBS7 | N/A | $41,606.20 |
 |
| Wisconsin St Public Fin Auth R Wisfin 01/42 Adjustable Var | 976831AW7 | N/A | $41,606.20 |
 |
| Wisconsin Public Power PUTTER Series 1232 | 976834FB2 | N/A | $41,606.20 |
 |
| York Cnty S C | 98647SAG6 | N/A | $41,606.20 |
 |
| Sinochem Cp Co. Ltd. | 82936MR26 | N/A | $41,605.98 |
 |
| Liberty Street Fdg LLC | 53127TR21 | N/A | $41,605.97 |
 |
| Cppib Capital Incorporated | 12624CR22 | N/A | $41,605.93 |
 |
| Small Business Administration | 78404TR22 | N/A | $41,605.85 |
 |
| Dnb Nor Bk Asa | 23330LPT7 | N/A | $41,605.70 |
 |
| Working Cap. Man. CO | 98137RR36 | N/A | $41,605.69 |
 |
| Cppib Capital Incorporated | 12624CR48 | N/A | $41,605.51 |
 |
| Surrey Funding Corporation | 86888MR41 | N/A | $41,605.51 |
 |
| Federal Home Loan Bank | 3133766U4 | N/A | $41,605.48 |
 |
| Victory Receivables Corporation | 92646KR46 | N/A | $41,605.47 |
 |
| Liberty Street Fdg LLC | 53127TR54 | N/A | $41,605.37 |
 |
| Uob Fdg LLC | 90319QR43 | N/A | $41,605.37 |
 |
| Socnam 0.00 20130403 | 83365RR31 | N/A | $41,605.32 |
 |
| Anglesea Funding LLC | 0347M2R32 | N/A | $41,605.23 |
 |
| Atlantic Asset Secur | 04821QBA8 | N/A | $41,605.10 |
 |
| Motiva Enterprises LLC | 61979JR82 | N/A | $41,604.74 |
 |
| Gotham Fdg Corporation | 38346LR81 | N/A | $41,604.50 |
 |
| Nationwide Bldg Soc | 6385E0R47 | N/A | $41,604.29 |
 |
| Market St Fndg Corporation | 5705X4R97 | N/A | $41,604.17 |
 |
| Crc Funding LLC | 12622URA6 | N/A | $41,604.12 |
 |
| Regency Mrkts No.1 L | 7588R0RB5 | N/A | $41,604.12 |
 |
| Victory Receivables Corporation | 92646KRA2 | N/A | $41,604.12 |
 |
| Liberty Funding LLC | 53127TRC9 | N/A | $41,603.91 |
 |
| Cofco Capital Corporation | 19213WRB0 | N/A | $41,603.89 |
 |
| Sydney Capital Corporation | 87123LR95 | N/A | $41,603.89 |
 |
| Gotham Fdg Corporation | 38346LRC2 | N/A | $41,603.53 |
 |
| Banco Santander Chile | 05968GR96 | N/A | $41,603.43 |
 |
| Nationwide Building Soc | 6385E0R96 | N/A | $41,603.43 |
 |
| Commonwealth Bk Australi | 20272ADX1 | N/A | $41,603.39 |
 |
| Caisse Centrale Djdn | 1280C2RF8 | N/A | $41,603.12 |
 |
| Liberty Street Fdg LLC | 53127TRG0 | N/A | $41,603.08 |
 |
| Cnpc Finance | 12623KRC3 | N/A | $41,603.02 |
 |
| Anglesea Funding LLC | 0347M2R81 | N/A | $41,602.96 |
 |
| Victory Receivables Corporation | 92646KRF1 | N/A | $41,602.96 |
 |
| Charta LLC | 16115URG8 | N/A | $41,602.91 |
 |
| Ciesco LLC | 17178BRG2 | N/A | $41,602.91 |
 |
| Liberty Street Fdg LLC | 53127TRH8 | N/A | $41,602.87 |
 |
| Bpcegp 0.0 20130409 | 05571BR96 | N/A | $41,602.78 |
 |
| Banco Santander Chile | 05968GRB1 | N/A | $41,602.73 |
 |
| Anglesea Funding LLC | 0347M2R99 | N/A | $41,602.50 |
 |
| Metlife Short Term Fund | 59157TRK1 | N/A | $41,602.45 |
 |
| China Intl Marine Cont | 16952MRC1 | N/A | $41,602.39 |
 |
| Market Street Fdg LLC | 5705X4RG1 | N/A | $41,602.39 |
 |
| Liberty Street Fdg LLC | 53127TRK1 | N/A | $41,602.25 |
 |
| Cppib Capital Incorporated | 12624CRN6 | N/A | $41,601.83 |
 |
| Caisse Centrale Djdn | 1280C2RP6 | N/A | $41,601.37 |
 |
| Liberty Funding LLC | 53127TRP0 | N/A | $41,601.37 |
 |
| Victory Receivables Corporation | 92646KRN4 | N/A | $41,601.10 |
 |
| Anz Natnl Int Lmtd | 0018A2RQ1 | N/A | $41,600.88 |
 |
| Gotham Funding Corporation | 38346LRQ1 | N/A | $41,600.62 |
 |
| China Intl Marine Cont | 16952MRJ6 | N/A | $41,600.30 |
 |
| Working Capital Mgmt | 98137RRR3 | N/A | $41,600.10 |
 |
| Oversea-chinese Banking | 69033QRV2 | N/A | $41,600.05 |
 |
| Banco Santander Chile | 05968GRK1 | N/A | $41,599.96 |
 |
| China Intl Marine Cont | 16952MRK3 | N/A | $41,599.96 |
 |
| State Street Corporation | 85747JS16 | N/A | $41,599.96 |
 |
| Oversea-chinese Banking | 69033QRW0 | N/A | $41,599.50 |
 |
| Cnpc Finance | 12623KRH2 | N/A | $41,599.17 |
 |
| Govco LLC | 38362VS20 | N/A | $41,599.03 |
 |
| Cnpc Finance Hk Ltd | 12623KRS8 | N/A | $41,598.98 |
 |
| Legacy Capital Company | 52468JRJ5 | N/A | $41,598.73 |
 |
| Cafco LLC | 12476ES18 | N/A | $41,598.57 |
 |
| Ciesco LLC | 17178BS14 | N/A | $41,598.57 |
 |
| Charta LLC | 16115US69 | N/A | $41,597.30 |
 |
| Cmmnwlth Bnk of Aus | 20272DS68 | N/A | $41,597.30 |
 |
| Victory Receivables | 92646KS60 | N/A | $41,597.30 |
 |
| Cnpc Finance Hk Ltd | 12623KRP4 | N/A | $41,597.05 |
 |
| Ridgefield Fundng CO LLC | 76582JRN6 | N/A | $41,596.98 |
 |
| Cafco LLC | 12476ES91 | N/A | $41,596.54 |
 |
| Charta LLC | 16115US93 | N/A | $41,596.54 |
 |
| Concord Minutemen Cap CO | 2063C0S60 | N/A | $41,595.68 |
 |
| Surrey Funding Corporation | 86888MS81 | N/A | $41,595.51 |
 |
| Caisse Centrale Djdn | 1280C2SE0 | N/A | $41,595.27 |
 |
| Mitsubishi Ufj Trust And Banki 0 | ACI04X2P1 | N/A | $41,593.91 |
 |
| Concord Minutemen Cap CO | 2063C0SF0 | N/A | $41,592.98 |
 |
| Psp Capital Incorporated | 69370AT46 | N/A | $41,592.15 |
 |
| Mitsubishi Ufj Trust And Bkng 0 | 921RXFII0 | N/A | $41,592.05 |
 |
| Cnpc Finance Hk Ltd | 12623KS65 | N/A | $41,592.04 |
 |
| Caisse Centrale Djdn | 1280C2SU4 | N/A | $41,592.04 |
 |
| Nationwide Bldg Soc | 6385E0SD6 | N/A | $41,591.64 |
 |
| Small Business Administration | 78404TSD7 | N/A | $41,591.64 |
 |
| Suncorp Metway Ltd | 8672E2RW0 | N/A | $41,591.45 |
 |
| Anglesea Funding LLC | 0347M2S31 | N/A | $41,591.41 |
 |
| Cnpc Finance Hk Ltd | 12623KSG3 | N/A | $41,591.12 |
 |
| Crown Point Capital CO | 2284K0SN6 | N/A | $41,590.87 |
 |
| Lexingtn Pkr Cap CO Ll | 52952LSN3 | N/A | $41,590.87 |
 |
| Old Line Funding LLC | 67983TT55 | N/A | $41,590.42 |
 |
| Thunder Bay Fndng LLC | 88602TT52 | N/A | $41,590.42 |
 |
| Cnpc Finance Hk Ltd | 12623KSP3 | N/A | $41,588.77 |
 |
| Small Business Administration | 78404TSN5 | N/A | $41,587.93 |
 |
| Thunder Bay Funding LLC | 88602TTH6 | N/A | $41,587.51 |
 |
| Uob Funding LLC | 90319QTQ2 | N/A | $41,586.78 |
 |
| Toyota Credit Canada Incorporated | 89232CTS5 | N/A | $41,586.32 |
 |
| Toyota Cr CDA Incorporated | 89232CTT3 | N/A | $41,586.09 |
 |
| Treasury Bill 0.00000 | 912796BB4 | N/A | $41,584.40 |
 |
| Treasury Bill 0.00000 | 912796BC2 | N/A | $41,583.98 |
 |
| Colltrzd Coml Paper Ii | 19422CT52 | N/A | $41,583.66 |
 |
| Sydney Capital Corporation | 87123LTE2 | N/A | $41,583.11 |
 |
| Treasury Bill 0.00000 | 912796AY5 | N/A | $41,582.80 |
 |
| Skandinav Enskilda Bank | 83050TTJ0 | N/A | $41,582.76 |
 |
| Sydney Capital Corporation | 87123LTH5 | N/A | $41,582.17 |
 |
| Banco De Chile | 05952STE5 | N/A | $41,578.83 |
 |
| Nationwide Building Soc | 6385E0TR4 | N/A | $41,577.71 |
 |
| Oversea-chinese Banking | 69033QUR7 | N/A | $41,575.63 |
 |
| Treasury Gilt Fixed 2.75 | B4LFZRII9 | N/A | $41,574.67 |
 |
| Suncorp Metway Ltd | 8672E2TB4 | N/A | $41,574.20 |
 |
| White Point Fdg Incorporated | 96442LTH0 | N/A | $41,573.27 |
 |
| Suncorp Metway Ltd | 8672E2TK4 | N/A | $41,570.59 |
 |
| Saputo Incorporated Com | 802912956 | SAP | $41,564.32 |
 |
| Old Line Funding LLC | 67983TW51 | N/A | $41,559.02 |
 |
| Swedbank | 87019RV11 | N/A | $41,558.26 |
 |
| Bedford Row Funding Corporation | 07644AV19 | N/A | $41,556.85 |
 |
| Swedbank | 87019RU38 | N/A | $41,553.53 |
 |
| Swedbank | 87019RU20 | N/A | $41,553.04 |
 |
| E Sun Financial Hl Twd10 | 643391907 | N/A | $41,498.17 |
 |
| Great West Lifeco Incorporated Com | 39138C957 | GWO | $41,433.87 |
 |
| Hotai Motor CO Twd10 | 641716907 | N/A | $41,266.27 |
 |
| Ayala Corp Php50 | B09JBT904 | AC | $41,202.69 |
 |
| Asia Cement Twd10 | 605633007 | N/A | $41,191.26 |
 |
| Eclipse Funding Trust Various Ecl Adjustable Var | 27884FEN6 | N/A | $41,190.14 |
 |
| Michigan State Housing Development Authority Rental Housing Project | 59465MSP1 | N/A | $41,190.14 |
 |
| Volvo Ab Ser A Npv(post Split) | B1QH7Y901 | VOLVA | $41,172.62 |
 |
| Uk Treasury Stock 5pct | 318295II5 | N/A | $41,156.53 |
 |
| British Land CO Ord Gbp0.25 | 013670005 | BLND | $41,151.81 |
 |
| Omv AG Npv(var) | 465145001 | OMV | $41,127.55 |
 |
| Uk(govt Of) 4pct Stk Gbp100 | B0V3WXII3 | N/A | $41,085.12 |
 |
| Heineken Holding Eur1.6 | B0CCH4904 | HEIO | $41,076.96 |
 |
| Japan 89 (5year Issue) Fixed 0.4 | B648RLII1 | N/A | $41,024.09 |
 |
| Dairy Farm Intl Hldgs Ltd Common Stock Usd.0555 | 618027908 | DFI | $41,021.96 |
 |
| Whitbread Ord Gbp0.76797385 | B1KJJ4906 | WTB | $40,998.38 |
 |
| Alimentation Couche Tard Incorporated Sub Vtg Sh | 01626P957 | N/A | $40,985.67 |
 |
| Gs Holdings Corp Krw5000 | B01RJV901 | N/A | $40,918.02 |
 |
| U.S. Treasury Note | 912828GH7 | N/A | $40,907.88 |
 |
| Skanska Ab Ser B Sek3 | 714209905 | SKAB | $40,875.87 |
 |
| RSA Insurance Group PLC Ord Gbp0.275 | 066168907 | RSA | $40,827.61 |
 |
| Itv Ord Gbp0.10 | 339864902 | ITV | $40,820.69 |
 |
| Nippon Meat Packer Npv | 664076007 | N/A | $40,818.74 |
 |
| Larsen + Toubro Inr2 | B0166K905 | LT | $40,755.80 |
 |
| President Chain St Twd10 | 670498906 | N/A | $40,618.48 |
 |
| Telecom Italia Eur.55 | 763439908 | TIT | $40,597.36 |
 |
| Japan 294 (10 Yr Issue) Sr Unsecured | B3BLP4II1 | N/A | $40,597.26 |
 |
| Richmond Cnty GA Dev Auth Ricdev 07/37 Adjustable Var | 764595BD5 | N/A | $40,566.04 |
 |
| Upm Kymmene Oy Npv | 505125906 | N/A | $40,565.15 |
 |
| Samsung Secs CO Krw5000 | 640844908 | N/A | $40,537.76 |
 |
| Research In Motion Ltd Com | 760975953 | BB | $40,534.48 |
 |
| France Oat Fixed | B4XGWWII6 | N/A | $40,534.20 |
 |
| Bunzl Ord Gbp0.32142857 | B0744B906 | BNZL | $40,480.60 |
 |
| Ptt Public Company Thb10(local) | 642038905 | PTT | $40,382.82 |
 |
| Kotak Mahindra Bank Ltd Inr10 | 613566900 | KMB | $40,375.45 |
 |
| Baltimore Md Parking Systems Facilites | 059231TD2 | N/A | $40,358.01 |
 |
| Seek Limited Npv | B0767Y908 | SEK | $40,263.92 |
 |
| Japan 304 10 Yr Issue Fixed | B4VSFTII8 | N/A | $40,230.36 |
 |
| Hokuhoku Financial Group Incorporated Npv | 668359904 | N/A | $40,192.28 |
 |
| Johnson Matthey PLC Common Stock Gbp1.047619 | B70FPS903 | JMAT | $40,185.62 |
 |
| WI Trasury Sec Fixed | 912828LQ1 | N/A | $40,150.59 |
 |
| Scania Ab Ser B Npv | B1RDYG908 | SCVB | $40,120.00 |
 |
| U.S. Treasury Note/bond | 912828HR4 | N/A | $40,046.02 |
 |
| Franco Nevada Corp Com | 351858956 | FNV | $40,043.03 |
 |
| Japan(govt Of) 1.3pct Bds Jpy | B61PKRII0 | N/A | $40,041.95 |
 |
| Mol Hungarian Oil Huf1000(regd) | 474249901 | MOL | $40,024.61 |
 |
| Toyo Suisan Kaisha Jpy50 | 689996007 | N/A | $40,016.34 |
 |
| Ngk Insulators Jpy50 | 661950006 | N/A | $39,976.33 |
 |
| Philadelphia Pa Arpt Revenue Phiapt Adjustable Var | 717817RR3 | N/A | $39,941.95 |
 |
| Ucb Npv | 559699905 | UCB | $39,917.51 |
 |
| Nomura Research Incorporated Npv | 639092907 | N/A | $39,868.97 |
 |
| Aozora Bank Ltd Jpy50 | B1G185909 | N/A | $39,857.66 |
 |
| Infrastructure Dev Finance Inr10 | B0C5QR908 | IDFC | $39,842.43 |
 |
| Chugoku Bank Jpy50 | 619580004 | N/A | $39,798.32 |
 |
| San Francisco CA City & County RDA Notre Dame Apartments Series G | 79765TBH7 | N/A | $39,733.92 |
 |
| Taiwan Cooperative Financial Common Stock Twd10. | ACI016NW5 | N/A | $39,727.95 |
 |
| Kyowa Hakko Kirin CO Ltd Npv | 649955002 | N/A | $39,641.02 |
 |
| Abertis Infraestructuras SA Eur3 Rfd | 406566000 | ABE | $39,589.88 |
 |
| Jbs SA Common Stock Npv | B1V74X902 | N/A | $39,563.13 |
 |
| Japan 140 (20 Yr Issue) Sr Unsecured 09/32 | ACI02G163 | N/A | $39,532.54 |
 |
| Cintra Conces Infr Eur0.2 | B03851902 | FER | $39,525.07 |
 |
| Agnico Eagle Mines Ltd Com | 008474959 | AEM | $39,487.65 |
 |
| Telekom Malaysia Myr1 | 686839002 | T | $39,443.84 |
 |
| Federal Hydrogenerating ADR ADR | 466294105 | RSHYY | $39,441.12 |
 |
| Jiangxi Copper CO H Cny 1 | 600030902 | N/A | $39,436.62 |
 |
| Chang Hwa Bank Twd10 | 618785901 | N/A | $39,413.74 |
 |
| Leighton Holdings Npv | 651122004 | LEI | $39,400.63 |
 |
| Gkn Ord Gbp0.10 | 306465907 | GKN | $39,391.46 |
 |
| Metro Incorporated Cl A Sub Vtg | 59162N950 | MRU | $39,387.63 |
 |
| Government National Mortgage Association | 3620C02Q0 | N/A | $39,369.95 |
 |
| Federal National Mortgage Association | 3138MDF49 | N/A | $39,331.45 |
 |
| Sumitomo Rubber Npv | 685899007 | N/A | $39,320.20 |
 |
| Colorado Housing and Finance Authority Series A1 | 196479HT9 | N/A | $39,317.86 |
 |
| Indusind Bank Ltd Common Stock Inr10.0 | 610045908 | IIB | $39,306.76 |
 |
| Federal National Mortgage Association | 31412Q7C7 | N/A | $39,278.76 |
 |
| Japan (govt Of) 1.7pct Ser 282 | B1DRWWII0 | N/A | $39,249.52 |
 |
| Snc Lavalin Group Incorporated Com | 78460T956 | SNC | $39,145.94 |
 |
| WI Treasury Sec Fixed | 912828MV9 | N/A | $39,126.14 |
 |
| Lanxess AG Npv | B05M8B904 | LXS | $39,110.21 |
 |
| Honam Petrochem Kswn 5000 | 644002909 | N/A | $39,083.03 |
 |
| Actelion Chf0.5 (regd)(post Subd) | B1YD5Q900 | ATLN | $39,066.80 |
 |
| Japan 139 (20 Yr Issue) Sr Unsecured 06/32 | ACI02CXY6 | N/A | $39,011.95 |
 |
| Unilever Indonesia Idr10 | 668718901 | UNVR | $39,010.44 |
 |
| Commerzbank AG Npv | 432553907 | CBK | $38,936.34 |
 |
| Uss Jpy50 | 617149901 | N/A | $38,895.89 |
 |
| Taisei Corp Jpy50 | 687010009 | N/A | $38,895.89 |
 |
| Tata Power CO Ltd Common Stock Inr1. | B6Z1L7908 | TPWR | $38,869.34 |
 |
| WI Treasury Sec Fixed | 912828MK3 | N/A | $38,849.92 |
 |
| Mstar Semiconductor Incorporated Common Stock Twd10. | B4N97J909 | N/A | $38,815.21 |
 |
| Usiminas Usi Sd Mg Prf A Npv | 238600902 | N/A | $38,810.32 |
 |
| Pacific Rubiales Ene Corp Com New | 69480U958 | PRE | $38,801.59 |
 |
| Umw Hldgs Berhad Myr1 | 691082002 | UMWH | $38,729.64 |
 |
| Yanzhou Coal Minin H Cny1 | 610989907 | N/A | $38,682.10 |
 |
| Treasury Note | 912828LD0 | N/A | $38,673.13 |
 |
| Japan 324(10 Yr Issue) Sr Unsecured 0.8 | ACI026JD1 | N/A | $38,650.31 |
 |
| Roche Hldgs AG Chf1 | 710891904 | RO | $38,597.91 |
 |
| U.S. Treasury Note | 912828KZ2 | N/A | $38,595.76 |
 |
| Kimberly Clark De Mex Sab D A Npv | 249191008 | N/A | $38,595.31 |
 |
| Uk Govt of 09/34 Fixed | B52WS1II5 | N/A | $38,578.90 |
 |
| Hysan Development Hkd5 | 644962003 | N/A | $38,548.01 |
 |
| Pol Gorn Naft I GA Pln1 | B0L911904 | PGN | $38,515.93 |
 |
| Bluescope Steel Ltd Npv | 653323907 | BSL | $38,512.32 |
 |
| Gpe Bruxelles Lam Npv (new) | 709732903 | GBLB | $38,511.48 |
 |
| Nokian Renkaat Oyj Npv | B07G37909 | N/A | $38,508.59 |
 |
| Takashimaya CO Jpy50 | 687040006 | N/A | $38,498.48 |
 |
| Volkswagen AG | 549710903 | VOW | $38,496.79 |
 |
| Warren County OH Health Care Facilities Otterbein Homes Series B | 93515PAB3 | N/A | $38,485.73 |
 |
| Toho Gas CO Jpy50 | 689522001 | N/A | $38,370.15 |
 |
| Accor Eur3 | 585284904 | AC | $38,363.52 |
 |
| Japan (government) 1.8pct (261) | B01TPGII4 | N/A | $38,359.47 |
 |
| Toho CO Jpy500 | 689520005 | N/A | $38,347.52 |
 |
| Japan (govt Of) 1.5pct | B04RCBII0 | N/A | $38,339.81 |
 |
| Hachijuni Bank Npv | 640062006 | N/A | $38,318.41 |
 |
| Medipal Holdings Corp Npv | 678209909 | N/A | $38,254.04 |
 |
| Tokyo Tatemono CO Jpy50 | 689542009 | N/A | $38,252.86 |
 |
| U.S. Treasury Fixed | 912828QQ6 | N/A | $38,186.95 |
 |
| Japan 34(30 Year Issue) Sr Unsecured 03/41 | B5V3ZNII1 | N/A | $38,165.38 |
 |
| Gemalto Eur1 | B011JK902 | GTO | $38,116.42 |
 |
| Buoni Poliennali Del Tes Bonds 4.75 | ACI0213R8 | N/A | $38,109.18 |
 |
| Suzuken CO Ltd Jpy50 | 686556903 | N/A | $38,057.61 |
 |
| Japan 303 10 Yr Issue Fixed | B40Z1ZII7 | N/A | $37,978.99 |
 |
| Golden Agri Resour Usd 0.10 | 616447900 | GGR | $37,903.08 |
 |
| Kuala Lumpur Kepg Ord Myr1 | 649744000 | KLK | $37,889.28 |
 |
| Hero Honda Inr2(demat T5) | 632732905 | HMCL | $37,883.26 |
 |
| Japan 84 (5 Year Issue) Fixed 0.7 | B3Q7MDII9 | N/A | $37,857.09 |
 |
| Government Natl Mtg Assn | 21H032647 | N/A | $37,805.75 |
 |
| U.S. Treasury N/b 11/42 2.75 | 912810QY7 | N/A | $37,771.20 |
 |
| Orkla Asa Nok1.25(post Subdivision) | B1VQF4902 | ORK | $37,760.07 |
 |
| Ford Motor Credit CO LLC Sr Unsecured 3. | 345397WD1 | N/A | $37,728.12 |
 |
| Dainippon Sumitomo Npv | 625086004 | N/A | $37,725.61 |
 |
| Japan 107(5 Year Issue) Sr Unsecured 0.2 | ACI04G393 | N/A | $37,689.71 |
 |
| African Bank Inv Zar0.025 | 604077909 | ABL | $37,640.13 |
 |
| Japan (2 Year Issue) Sr Unsecured 0.1 | ACI04V192 | N/A | $37,594.31 |
 |
| Hiroshima Bank Jpy50 | 607572005 | N/A | $37,587.77 |
 |
| Japan (2 Year Issue) Sr Unsecured 0.1 | ACI02A802 | N/A | $37,585.74 |
 |
| Sharp Corp Jpy50 | 680060001 | N/A | $37,535.33 |
 |
| Kansai Paint CO Jpy50 | 648374007 | N/A | $37,383.54 |
 |
| Japan Prime Realty Reit | 652817909 | N/A | $37,368.02 |
 |
| WI Treasury Sec Fixed | 912828QA1 | N/A | $37,349.95 |
 |
| Weg SA Common Stock Npv | 294542907 | N/A | $37,327.06 |
 |
| Pegatron Corp Common Stock | ACI003EU7 | N/A | $37,318.44 |
 |
| Umicore Npv | 400500005 | UMI | $37,277.64 |
 |
| Iyo Bank Jpy50 | 646828004 | N/A | $37,257.98 |
 |
| Pou Chen Twd10 | 669615908 | N/A | $37,248.00 |
 |
| Sinopharm Group CO H Common Stock | B3ZVDV905 | N/A | $37,222.61 |
 |
| Toto Jpy50 | 689746006 | N/A | $37,179.32 |
 |
| Japan Govt of 2.4pct Jpy50000 Ser 45 | 620821II1 | N/A | $37,084.22 |
 |
| Yapi Ve Kredi Bankasi A S Try1 | B03MZJ909 | YKBNK | $37,045.66 |
 |
| Trend Micro Incorporated Npv | 612528901 | N/A | $37,030.57 |
 |
| Tate + Lyle Gbp 0.25 | 087541009 | TATE | $37,028.62 |
 |
| WI Treasury N/b Fixed | 912828MZ0 | N/A | $36,996.37 |
 |
| Casino Guich Perr Eur1.53 | 417841004 | CO | $36,991.78 |
 |
| Mmi Holdings Ltd Common Stock Zar.000001 | ACI00CAS6 | MMI | $36,989.85 |
 |
| Bank of Queensland Npv | 607624004 | BOQ | $36,975.68 |
 |
| Coloplast B Common Stock Dkk1. | ACI04G724 | COLOB | $36,948.11 |
 |
| Cj Cheiljedang Krw5000 | B2492F907 | N/A | $36,933.40 |
 |
| Uol Group Ltd Sgd1 | 691684005 | UOL | $36,914.17 |
 |
| Kalbe Farma Tbk Pt Common Stock Idr10. | B7311V900 | KLBF | $36,900.44 |
 |
| Bombardier Incorporated Cl B | 097751952 | N/A | $36,885.41 |
 |
| Shikoku Elec Power Jpy500 | 680434008 | N/A | $36,833.11 |
 |
| Aryzta AG Chf0.02 | B39VJC900 | ARYN | $36,824.73 |
 |
| Government National Mortgage Association | 36179MQP8 | N/A | $36,801.28 |
 |
| Familymart CO Jpy50 | 633127006 | N/A | $36,744.66 |
 |
| Advance Residence Investment Reit | B62WZW906 | N/A | $36,714.44 |
 |
| Getinge Ab Ser B Sek0.50 | 769835901 | GETIB | $36,689.70 |
 |
| Minera Frisco Sab De Cv A1 Common Stock Npv | B3QHKH909 | N/A | $36,677.30 |
 |
| Alfresa Holdings C Npv | 668721905 | N/A | $36,666.01 |
 |
| WI Treasury Sec Fixed | 912828MH0 | N/A | $36,660.74 |
 |
| U.S. Treasury N/b | 912828RE2 | N/A | $36,573.73 |
 |
| WI Treasury N/b Fixed | 912828LS7 | N/A | $36,554.39 |
 |
| Petronas Gas Berha Mry1 | 670397900 | PTG | $36,543.69 |
 |
| G4s PLC Ord Gbp0.25 | B01FLG907 | GFS | $36,510.72 |
 |
| Government National Mortgage Association | 36179MSW1 | N/A | $36,489.52 |
 |
| United Spirits Ltd Inr10 | 657699906 | UNSP | $36,481.38 |
 |
| Japan 306(10 Yr Issue) Fixed | 981PXFII1 | N/A | $36,475.70 |
 |
| Japan (2 Year Issue) Sr Unsecured 0.1 | ACI01X9B8 | N/A | $36,453.91 |
 |
| U.S. Treasury Note | 912828LK4 | N/A | $36,435.62 |
 |
| Dr Reddys Labs Inr5 (demat T5) | 641095906 | DRRD | $36,360.84 |
 |
| Mr Price Group Ltd Common Stock Zar.00025 | 682036900 | MPC | $36,360.15 |
 |
| Mitsubishi Gas Chm Npv | 659692008 | N/A | $36,359.68 |
 |
| Duet Group Npv Units | B01WT6904 | DUE | $36,344.77 |
 |
| U.S. Treasury N/b | 912828RH5 | N/A | $36,327.88 |
 |
| Taiheiyo Cement Jpy50 | 666020003 | N/A | $36,325.18 |
 |
| France (govt) 3.5pct Oat Eur1 | B064GGII4 | N/A | $36,318.16 |
 |
| Federal Home Loan Mortgage Company | 02R030640 | N/A | $36,308.54 |
 |
| Mitsubishi Ufj Lease + Fin Npv | 626897003 | N/A | $36,281.09 |
 |
| Amorepacific Corp(new) Krw5000 | B15SK5908 | N/A | $36,225.21 |
 |
| Oci Company Ltd Krw5000 | 649700903 | N/A | $36,209.30 |
 |
| WI Treasury N/b Fixed | 912828PE4 | N/A | $36,206.32 |
 |
| Suntec Reit Npv (reit) | B04PZ7907 | SUN | $36,192.62 |
 |
| Fortis Incorporated Com | 349553958 | FTS | $36,186.70 |
 |
| Hamamatsu Photonic Npv | 640587002 | N/A | $36,139.93 |
 |
| Alicorp SA Pen1 | 216283903 | N/A | $36,042.91 |
 |
| WI Treasury N/b | 912828RM4 | N/A | $36,021.25 |
 |
| Fed Hm Ln Pc Pool Q13743 | 3132HQEQ1 | N/A | $36,019.98 |
 |
| Japan (govt Of) 2pct Jpy (93) | B1VKKHII1 | N/A | $36,003.08 |
 |
| Largan Precision CO Twd10 | 645166901 | N/A | $35,990.17 |
 |
| Babcock Intl Group Gbp0.60 | 096970900 | BAB | $35,955.47 |
 |
| Mitsubishi Logistc Jpy50 | 659684005 | N/A | $35,931.92 |
 |
| Nisshin Seifun Grp Jpy50 | 664096005 | N/A | $35,931.92 |
 |
| United Kingdom (govt Of) 5.pctstk Gbp100 | 308806II1 | N/A | $35,928.56 |
 |
| U.S. Treasury N/B | 912828RX0 | N/A | $35,844.46 |
 |
| Arcelik Try1 | B03MP1909 | ARCLK | $35,842.56 |
 |
| Texas Municipal Gas Acquisition & Supply Corporation Series 2848 | 88256CFB0 | N/A | $35,784.16 |
 |
| Metso Oyj Fim50 | 571342906 | N/A | $35,769.04 |
 |
| Petrofac Ord Usd0.025 | B0H2K5904 | PFC | $35,753.76 |
 |
| Federal National Mortgage Association | 3138E1SL2 | N/A | $35,725.55 |
 |
| Kajima Corp Jpy50 | 648132009 | N/A | $35,714.59 |
 |
| Cj Corp Krw5000 | 618951008 | N/A | $35,693.82 |
 |
| Ngk Spark Plug CO Npv | 661960005 | N/A | $35,691.82 |
 |
| WI Treasury Sec Fixed 1.0 | 912828QM5 | N/A | $35,680.12 |
 |
| Treasury Gilt 01/60 Fixed 4 | B54QLMII7 | N/A | $35,667.53 |
 |
| Delhaize Group Npv | 426211009 | DELB | $35,661.99 |
 |
| Jg Summit Hlgs Incorporated Ser B Php1 | 646645903 | JGS | $35,658.11 |
 |
| Uk(govt Of) 4.5pct Tsy Gbp0.01 | B39R3FII0 | N/A | $35,642.98 |
 |
| Federal National Mortgage Association | 31416XAL4 | N/A | $35,627.55 |
 |
| Metro Bank + Trust Php20 | 651444903 | MBT | $35,615.79 |
 |
| WI Treasury N/b | 912828UJ7 | N/A | $35,601.38 |
 |
| U.S. Treasury N/b Fixed 0.75 | 912828QS2 | N/A | $35,594.48 |
 |
| Gunma Bank Jpy50 | 639808005 | N/A | $35,545.55 |
 |
| Acergy S.a Com Usd2 | 525824900 | SUBC | $35,527.96 |
 |
| U.S. Treasury N/B | 912828RL6 | N/A | $35,507.46 |
 |
| Rexam PLC Common Stock Gbp.142857 | ACI04MZX2 | REX | $35,479.69 |
 |
| Banco Santander Central | 05964H105 | SAN | $35,446.49 |
 |
| U.S. Treasury N/B | 912828RQ5 | N/A | $35,442.55 |
 |
| U.S. Treasury N/b | 912828SZ4 | N/A | $35,430.10 |
 |
| U.S. Treasury N/b | 912828TX8 | N/A | $35,413.52 |
 |
| WI Treasury N/b 0.25 | 912828RV4 | N/A | $35,372.11 |
 |
| U.S. Treasury N/b 0.25 | 912828RZ5 | N/A | $35,365.18 |
 |
| Shimao Property Holdings Hkd0.10 | B16YNS901 | N/A | $35,342.35 |
 |
| San Miguel Corp Common Stock Php5.0 | B56DTZ906 | SMC | $35,339.86 |
 |
| U.S. Treasury N/b | 912828TM2 | N/A | $35,336.19 |
 |
| Tractebel Energia Com Npv | B07C76906 | N/A | $35,315.33 |
 |
| Adaro Energy Pt Common Stock Idr100.0 | B3BQFC902 | ADRO | $35,293.12 |
 |
| U.S. Treasury N/b 1. | 912828TC4 | N/A | $35,239.52 |
 |
| Nagoya Railroad CO Jpy50 | 661986000 | N/A | $35,213.00 |
 |
| Asian Paints India Inr10 (demat) | 609975909 | APNT | $35,203.24 |
 |
| Gea Group AG Npv | 455710905 | N/A | $35,199.29 |
 |
| Federal Home Loan Mortgage Company | 3137EACH0 | N/A | $35,193.24 |
 |
| Acer Incorporated Twd10 | 600585905 | N/A | $35,187.78 |
 |
| Japan(govt) 1.5pct Bds Jpy50000 | B29V1QII1 | N/A | $35,187.00 |
 |
| WI Treasury N/b | 912828TG5 | N/A | $35,167.67 |
 |
| Canadian Tire Ltd Cl A | 136681954 | N/A | $35,152.44 |
 |
| Federal Home Loan Mortgage Company | 3137EADM8 | N/A | $35,141.75 |
 |
| Doosan Heavy Ind Krw5000 | 629467903 | N/A | $35,079.53 |
 |
| WI Treasury Sec Fixed | 912828MD9 | N/A | $35,066.85 |
 |
| U.S. Treasury Bond | 912810EQ7 | N/A | $35,057.18 |
 |
| Arkema Eur10 | B0Z5YZ906 | AKE | $35,019.32 |
 |
| Sonova Holding AG Chf0.05 | 715603908 | SOON | $34,973.06 |
 |
| Hyundai Dept Store Krw5000 | 656861903 | N/A | $34,948.62 |
 |
| Japan (government Of) 2.1pct 21sep21(52) | 641579II0 | N/A | $34,931.66 |
 |
| Samsung Techwin Kswn5000 | 677267908 | N/A | $34,919.40 |
 |
| Foschini Zar0.0125 | 634968903 | TFG | $34,902.55 |
 |
| Fed Hm Ln Pc Pool Q00078 | 3132GDCP5 | N/A | $34,902.17 |
 |
| Shangri La Asia Ltd Hkd1 | 677103905 | N/A | $34,866.90 |
 |
| Red Electrica Corporacion Eur2 | 572377901 | REE | $34,866.00 |
 |
| Government National Mortgage Association | 36176XPM5 | N/A | $34,856.98 |
 |
| Gudang Garam (perus) Idr500 | 636699902 | GGRM | $34,842.42 |
 |
| Elekta Ab Ser B Sek 2 | B0M42T902 | EKTAB | $34,820.24 |
 |
| Resolution Ltd Common Stock Npv | B62W23906 | RSL | $34,802.58 |
 |
| Federal National Mortgage Association | 31417DCK7 | N/A | $34,764.06 |
 |
| KBC Group Nv Npv | 449774009 | KBC | $34,749.53 |
 |
| WI Treasury Sec Fixed 1.75 | 912828NP1 | N/A | $34,731.91 |
 |
| Kinnevik Inv Ab Ser B Sek0.1 | B00GC1909 | KINVB | $34,604.33 |
 |
| Federal National Mortgage Association | 31417KMG9 | N/A | $34,596.03 |
 |
| Federal National Mortgage Association | 31402RRN1 | N/A | $34,592.82 |
 |
| Miraca Holdings Incorporated Jpy50 | 635661002 | N/A | $34,538.93 |
 |
| Oi SA Preference Preference | B7XL5Q900 | N/A | $34,420.78 |
 |
| Turk Hava Yollari Try1 | B03MYK907 | THYAO | $34,372.62 |
 |
| Antarchile SA Npv Ser A | 204461909 | ANTAR | $34,359.84 |
 |
| WI Treasury N/b Fixed | 912828NK2 | N/A | $34,355.81 |
 |
| New York Mortgage Agency Homeowner ROC RR-II-R 11703 | 649883LR4 | N/A | $34,325.11 |
 |
| Croda Intl Ord Gbp0.10 | 023352008 | CRDA | $34,299.17 |
 |
| Graincorp A Npv | 610233900 | GNC | $34,287.57 |
 |
| Dena CO Ltd Npv | B05L36902 | N/A | $34,265.03 |
 |
| Fed Hm Ln Pc Pool C03466 | 31292KZ75 | N/A | $34,248.93 |
 |
| China Longyuan Power Group H Common Stock | B4Q2TX906 | N/A | $34,221.96 |
 |
| France (govt Of) 3.75pct Oat Eur1 | B08HF8II2 | N/A | $34,168.38 |
 |
| Stanley Electric Jpy50 | 684110000 | N/A | $34,152.91 |
 |
| Sembcorp Marine Sgd0.10 | 620513903 | SMM | $34,145.06 |
 |
| Cosan SA Industria Comercio Common Stock Npv | B0P72G900 | N/A | $34,099.29 |
 |
| Alumina Limited Npv | 695498006 | AWC | $34,098.93 |
 |
| Shin Kong Financial Twd10 | 645258906 | N/A | $34,098.11 |
 |
| T.e.r.n.a Ord Eur0.22 | B01BN5908 | TRN | $34,065.55 |
 |
| Tonen Gen Sekiyu Jpy50 | 636600009 | N/A | $34,043.56 |
 |
| Gas Natural Sdg Eur1 | 565042900 | GAS | $34,035.13 |
 |
| Rhb Capital Bhd Myr1 | 624467908 | RHBC | $34,028.79 |
 |
| Utah St Brd Regents Student Ln 11/45 Frn | 917546HU0 | N/A | $33,992.26 |
 |
| Vallourec Usin A T Eur4 Post Subdivision | B197DR900 | VK | $33,960.83 |
 |
| Novatek Microelect Twd10 | 634633903 | N/A | $33,953.47 |
 |
| Bk Leumi Le Israel Ord Ils1 | 607642907 | LUMI | $33,897.10 |
 |
| Bk Danamon Idr50000 | 658003900 | BDMN | $33,893.59 |
 |
| Votorantim Celulose Papel Se Common Stock | B04M7D902 | N/A | $33,890.06 |
 |
| Ytl Corp Ord Myr0.50 | 643612005 | YTL | $33,882.35 |
 |
| Sistema Jfsc | 48122U204 | JSFCF | $33,860.27 |
 |
| Turk Telekomunikas Try1 | B2RCGV905 | TTKOM | $33,804.16 |
 |
| El Puerto De Liverpool C1 Common Stock Npv | 230681900 | N/A | $33,730.70 |
 |
| Government National Mortgage Association | 36178DH46 | N/A | $33,690.58 |
 |
| Compania General De Electric Npv | 219610904 | CGE | $33,687.38 |
 |
| France(govt) 4pct Strip Oat Eur1 | B3F27FII4 | N/A | $33,635.88 |
 |
| Siam Cement CO Thb1 (alien Market) | 660990904 | N/A | $33,597.35 |
 |
| Tele2 Ab Ser B Sek1.25 | B08559906 | N/A | $33,430.23 |
 |
| Volcan Cia Minera Ser B Pen0.9 | 223606906 | N/A | $33,421.55 |
 |
| Hermes Intl Npv | 525397907 | RMS | $33,349.94 |
 |
| Shimamura CO Jpy50 | 680403003 | N/A | $33,332.23 |
 |
| Japan (govt Of) 2.3pct Bds Jpy 88 | B17MTZII5 | N/A | $33,279.63 |
 |
| United Kingdom (govt Of) Stk Gbp100 | B058DQII7 | N/A | $33,279.23 |
 |
| Fed Hm Ln Pc Pool A91526 | 312939VT5 | N/A | $33,232.89 |
 |
| Molycorp Incorporated | 608753109 | MCP | $33,198.42 |
 |
| Multiplan Empreend Com Stk Npv | B23DZG901 | N/A | $33,181.49 |
 |
| China Gas Holdings Hkd0.01 | 646079905 | N/A | $33,156.37 |
 |
| Government National Mortgage Association | 3620ARX30 | N/A | $33,147.55 |
 |
| Kuehne + Nagel AG Chf1(regd)(post Subd) | B142S6906 | KNIN | $33,125.13 |
 |
| Caltex Australia Npv | 616150009 | CTX | $33,118.09 |
 |
| Government National Mortgage Association | 3620ARUT6 | N/A | $33,079.87 |
 |
| Bangkok Bank Thb10(local | 607700002 | BBL | $33,036.25 |
 |
| Ppc Ltd Common Stock Npv | ACI02IJW3 | PPC | $33,025.41 |
 |
| Persimmon Ord Gbp0.10 | 068253004 | PSN | $33,014.10 |
 |
| Amec Ord Gbp0.50 | 002826006 | AMEC | $33,005.50 |
 |
| Lundin Petroleum A Npv | 718762909 | LUPE | $32,970.61 |
 |
| Bank of Ayudhya Public CO Ltd Thb10 Alien Market | 607594009 | N/A | $32,958.19 |
 |
| Hcl Technologiess Inr2 | 629489907 | HCLT | $32,927.34 |
 |
| St Microelectronics Eur1.04 | 596234906 | STM | $32,926.85 |
 |
| U.S. Treasury Note | 912828DC1 | N/A | $32,914.26 |
 |
| Indl Bank of Korea Krw5000 | 646297903 | N/A | $32,911.71 |
 |
| Thk CO Jpy50 | 686913005 | N/A | $32,909.44 |
 |
| U.S. Treasury Note | 912828HH6 | N/A | $32,887.62 |
 |
| Longfor Properties Common Stock Hkd.1 | B56KLY901 | N/A | $32,873.24 |
 |
| Brother Industries Jpy50 | 614650000 | N/A | $32,758.00 |
 |
| Sony Financial Hol Npv | B249SN902 | N/A | $32,744.41 |
 |
| Icl Israel Chem Ils1 | 645553900 | ICL | $32,739.40 |
 |
| Edf Eur0.5 | B0NJJ1901 | EDF | $32,709.50 |
 |
| Germany(fed Rep) 4.25pct Bds Eur0.01 | B39QCFII2 | N/A | $32,698.58 |
 |
| Alliance Global Gp Php1 | 614710903 | AGI | $32,673.02 |
 |
| Sanofi-Aventis | 80105N105 | SNY | $32,657.51 |
 |
| Polymetal Internatio |