 |
| Wells Fargo Advantage Cash Investment Money Market Fund | 9499999G3 | N/A | $5,739,847.36 |
 |
| Treasury Bill 0.00000 | 912796AB5 | N/A | $3,814,847.39 |
 |
| Apple Incorporated | 037833100 | AAPL | $2,991,906.27 |
 |
| Google Incorporated | 38259P508 | GOOG | $2,226,130.79 |
 |
| Chevron Corporation | 166764100 | CVX | $1,846,225.79 |
 |
| FNMA | 31396PGQ8 | N/A | $1,482,915.02 |
 |
| FNMA | 31392DUF7 | N/A | $1,459,479.75 |
 |
| Johnson & Johnson | 478160104 | JNJ | $1,450,305.82 |
 |
| General Electric Company | 369604103 | GE | $1,406,300.49 |
 |
| eBay Incorporated | 278642103 | EBAY | $1,391,384.15 |
 |
| FNMA | 3138EJYV4 | N/A | $1,361,068.96 |
 |
| Exxon Mobil Corporation | 30231G102 | XOM | $1,345,197.22 |
 |
| TIPS | 912810QV3 | N/A | $1,333,521.00 |
 |
| Qualcomm Incorporated | 747525103 | QCOM | $1,324,501.83 |
 |
| Procter & Gamble Company | 742718109 | PG | $1,209,683.52 |
 |
| JPMorgan Chase & Company | 46625H100 | JPM | $1,193,260.66 |
 |
| U.S. Treasury Bond | 912810QL5 | N/A | $1,188,510.73 |
 |
| Bank of America Corporation | 060505104 | BAC | $1,178,384.19 |
 |
| WI Treasury N/b | 912828UJ7 | N/A | $1,153,718.70 |
 |
| Pfizer Incorporated | 717081103 | PFE | $1,143,846.24 |
 |
| Amazon.com Incorporated | 023135106 | AMZN | $1,090,366.02 |
 |
| Cisco Systems Incorporated | 17275R102 | CSCO | $1,077,050.41 |
 |
| Union Pacific Corporation | 907818108 | UNP | $1,061,196.47 |
 |
| Visa Incorporated | 92826C839 | V | $1,022,541.38 |
 |
| American Express Company | 025816109 | AXP | $988,779.78 |
 |
| AT&T Incorporated | 00206R102 | T | $980,138.51 |
 |
| Citigroup Incorporated | 172967424 | C | $956,881.68 |
 |
| Monsanto Company | 61166W101 | MON | $956,522.20 |
 |
| FNMA | 31393YU52 | N/A | $952,803.88 |
 |
| Whole Foods Market Incorporated | 966837106 | WFM | $945,699.36 |
 |
| FNMA | 31409VZV8 | N/A | $918,008.72 |
 |
| U.S. Treasury N/b | 912828UN8 | N/A | $910,119.29 |
 |
| Gilead Sciences Incorporated | 375558103 | GILD | $896,445.80 |
 |
| Starbucks Corporation | 855244109 | SBUX | $895,864.25 |
 |
| Eaton Corporation PLC | G29183103 | ETN | $849,316.01 |
 |
| Cognizant Technology Solutions Corporation | 192446102 | CTSH | $843,046.10 |
 |
| McDonald's Corporation | 580135101 | MCD | $842,469.11 |
 |
| PNC Financial Services Group | 693475105 | PNC | $834,656.29 |
 |
| FHLMC | 31394JY50 | N/A | $814,458.04 |
 |
| Federal National Mortgage Association | 31394AB54 | N/A | $807,021.66 |
 |
| Pioneer Natural Resources Company | 723787107 | PXD | $788,831.16 |
 |
| Berkshire Hathaway Incorporated-Cl B | 084670702 | N/A | $778,181.79 |
 |
| Alexion Pharmaceuticals Incorporated | 015351109 | ALXN | $775,427.91 |
 |
| Credit Suisse Mortgage Capital Certification Series 2007-c1 Class Aab | 22545XAC7 | N/A | $774,675.32 |
 |
| Microsoft Corporation | 594918104 | MSFT | $745,926.69 |
 |
| CVS Caremark Corporation | 126650100 | CVS | $745,861.87 |
 |
| Keycorp Student Loan Trust | 493268AU0 | N/A | $722,916.89 |
 |
| Wachovia Bank Commercial Mortgage | 929766YX5 | N/A | $714,472.01 |
 |
| Dollar Tree Incorporated | 256746108 | DLTR | $712,279.86 |
 |
| Jp Morgan Chase Commercial Mortgage Securities Corporation Series 2006-ldp7 Class Asb | 46628FAH4 | N/A | $709,647.00 |
 |
| Wamu Mortgage Pass-through Certificates Series 2006-ar3 Class A1a | 92925CDA7 | N/A | $705,056.62 |
 |
| MasterCard Incorporated | 57636Q104 | MA | $702,896.04 |
 |
| Fed Hm Ln Pc Pool U89009 | 3132H1AK3 | N/A | $697,603.00 |
 |
| Structured Asset Securities Corporation Series 2007-rm1 Class A1 | 86363BAA3 | N/A | $696,806.38 |
 |
| The Home Depot Incorporated | 437076102 | HD | $689,243.88 |
 |
| Small Business Admin 2007 20j Partn Ctf | 83162CRH8 | N/A | $678,279.94 |
 |
| Priceline.com Incorporated | 741503403 | PCLN | $676,316.49 |
 |
| Federal National Mortgage Association | 31393TMB9 | N/A | $671,771.94 |
 |
| Danaher Corporation | 235851102 | DHR | $669,575.68 |
 |
| Schlumberger Limited | 806857108 | SLB | $660,235.14 |
 |
| Naa 2004-r2 A1 | 62951MAM2 | N/A | $660,203.37 |
 |
| American International Group Incorporated | 026874784 | AIG | $658,878.73 |
 |
| State Street Corporation | 857477103 | STT | $656,121.54 |
 |
| Federal National Mortgage Association | 31393X7A9 | N/A | $645,657.52 |
 |
| Philip Morris International Incorporated | 718172109 | PM | $645,188.09 |
 |
| Toll Road Inv | 88948AAQ0 | N/A | $642,605.76 |
 |
| Small Business Admin 2006 20b Partn Ctf | 83162CQB2 | N/A | $639,045.06 |
 |
| Tcf Financial Bank | 878055AA0 | N/A | $630,504.53 |
 |
| Coca-Cola Company | 191216100 | KO | $624,413.06 |
 |
| Tsy Infl Ix N/b 02/43 0.625 | 912810RA8 | N/A | $621,840.66 |
 |
| Hfchc 2005-2 A1 | 40430GAC4 | N/A | $615,555.24 |
 |
| Federal Home Loan Mortgage Company | 3137A7JU5 | N/A | $611,770.22 |
 |
| Celgene Corporation | 151020104 | CELG | $610,555.54 |
 |
| Salesforce.com Incorporated | 79466L302 | CRM | $607,865.08 |
 |
| Federal National Mortgage Association | 3138MDVZ2 | N/A | $607,793.95 |
 |
| Housing Urban Development | 911759HA9 | N/A | $605,805.11 |
 |
| Verizon Communications Incorporated | 92343V104 | VZ | $600,904.69 |
 |
| IBM Corporation | 459200101 | IBM | $599,210.90 |
 |
| Precision Castparts Corporation | 740189105 | PCP | $598,232.52 |
 |
| Fed Hm Ln Pc Pool Q16035 | 3132J7EH1 | N/A | $595,564.58 |
 |
| Omnicom Group Incorporated | 681919106 | OMC | $591,085.85 |
 |
| Hudson City | 44372BCP6 | N/A | $588,658.83 |
 |
| Accenture PLC | G1151C101 | ACN | $585,110.93 |
 |
| Metlife Incorporated | 59156R108 | MET | $578,868.81 |
 |
| Dollar General Corporation | 256677105 | DG | $575,530.88 |
 |
| Cerner Corporation | 156782104 | CERN | $569,827.97 |
 |
| United Parcel Service Incorporated | 911312106 | UPS | $563,951.36 |
 |
| Allergan Incorporated | 018490102 | AGN | $547,295.40 |
 |
| Praxair Incorporated | 74005P104 | PX | $540,979.50 |
 |
| Cwhl 2005-r3 Af | 126694JG4 | N/A | $536,936.79 |
 |
| 3M Company | 88579Y101 | MMM | $532,399.82 |
 |
| FHLMC | 02R030657 | N/A | $528,172.08 |
 |
| PepsiCo Incorporated | 713448108 | PEP | $518,896.84 |
 |
| Raac Series 2007-rp4 Class A | 74919LAD0 | N/A | $517,349.19 |
 |
| Treasury Bill 0.00000 | 9127956F3 | N/A | $509,999.60 |
 |
| Cwhl 2006-oa5 1a1 | 126694M62 | N/A | $503,283.21 |
 |
| Merck & Company Incorporated | 58933Y105 | MRK | $500,623.47 |
 |
| United Technologies Corporation | 913017109 | UTX | $497,842.81 |
 |
| Wells Fargo & Company | 949746101 | WFC | $486,214.11 |
 |
| CBS Corporation | 124857202 | CBS | $485,147.65 |
 |
| Covidien PLC Common Stock Usd.2 | G2554F113 | COV | $482,790.08 |
 |
| Comcast Corporation | 20030N101 | CMCSA | $476,784.46 |
 |
| Discover Financial Services | 254709108 | DFS | $476,739.85 |
 |
| Costco Wholesale Corporation | 22160K105 | COST | $475,834.45 |
 |
| ConocoPhillips | 20825C104 | COP | $475,469.62 |
 |
| Wamu Commercial Mortgage Securities Trust Series 2007-sl3 Class A1 | 93364LAB4 | N/A | $473,255.66 |
 |
| Goldman Sachs Group Incorporated | 38141G104 | GS | $464,457.74 |
 |
| WI Treasury Sec. Fixed | 912828PP9 | N/A | $459,580.06 |
 |
| Lululemon Athletica Incorporated | 550021109 | LULU | $458,418.88 |
 |
| Maricopa County Elementary School District No 28-kyrene Elementary/az | 567137ZH0 | N/A | $445,125.33 |
 |
| TIPS | 912828QD5 | N/A | $437,542.71 |
 |
| Csfb Corp 2004-ar5 | 22541SJJ8 | N/A | $437,155.39 |
 |
| TJX Companies Incorporated | 872540109 | TJX | $429,032.34 |
 |
| Walt Disney Company | 254687106 | DIS | $422,254.45 |
 |
| Walgreen Company | 931422109 | WAG | $421,597.94 |
 |
| Wachovia Asset Securitization Incorporated | 92978LAA6 | N/A | $419,775.80 |
 |
| WI Treasury Sec Fixed | 912828NM8 | N/A | $417,973.26 |
 |
| Ameriprise Financial Incorporated | 03076C106 | AMP | $415,530.50 |
 |
| Biogen Idec Incorporated | 09062X103 | BIIB | $412,378.58 |
 |
| Federal National Mortgage Association | 31394ALN4 | N/A | $412,350.08 |
 |
| Becton Dickinson & Company | 075887109 | BDX | $410,901.32 |
 |
| Crown Castle International Corporation | 228227104 | CCI | $409,140.20 |
 |
| Vodafone Group Plc ADR | 92857W209 | VOD | $407,399.64 |
 |
| EMC Corporation | 268648102 | EMC | $405,156.33 |
 |
| Kansas City Southern | 485170302 | KSU | $401,398.73 |
 |
| Minnesota Life Insurance | 604074AA2 | N/A | $400,105.37 |
 |
| TIPS | 912828SA9 | N/A | $398,562.21 |
 |
| CarMax Incorporated | 143130102 | KMX | $397,393.31 |
 |
| Entergy Corporation | 29364G103 | ETR | $396,056.18 |
 |
| Raytheon Company | 755111507 | RTN | $391,991.98 |
 |
| TIPS | 912828QV5 | N/A | $388,029.03 |
 |
| Colgate-Palmolive Company | 194162103 | CL | $386,734.74 |
 |
| Medtronic Incorporated | 585055106 | MDT | $383,420.73 |
 |
| Microchip Technology | 595017104 | MCHP | $383,064.41 |
 |
| Amgen Incorporated | 031162100 | AMGN | $382,718.79 |
 |
| Federal National Mortgage Association | 3138MLGF5 | N/A | $382,685.49 |
 |
| Hess Corporation | 42809H107 | HES | $382,051.50 |
 |
| Chase Capital Jpm | 16162LAA1 | N/A | $380,419.23 |
 |
| Regions Financial Corp Fixed 5.75 | 7591EPAG5 | N/A | $377,979.04 |
 |
| Chipotle Mexican Grill | 169656105 | CMG | $376,621.70 |
 |
| Tsy Infl Ix N/b | 912828SQ4 | N/A | $376,002.01 |
 |
| Fed Hm Ln Pc Pool Q16034 | 3132J7EG3 | N/A | $375,963.58 |
 |
| TIPS | 912810FR4 | N/A | $375,485.84 |
 |
| Federal National Mortgage Association | 31393EP37 | N/A | $374,957.94 |
 |
| Continental Resources Incorporated | 212015101 | CLR | $374,423.98 |
 |
| Concho Resources Incorporated | 20605P101 | CXO | $371,381.78 |
 |
| Valspar | 920355AC8 | N/A | $370,750.62 |
 |
| Eqt Corporation | 26884LAA7 | N/A | $370,024.52 |
 |
| Baxter International Incorporated | 071813109 | BAX | $368,278.06 |
 |
| Mass Inst. | 57571KAB0 | N/A | $367,437.08 |
 |
| Newell Rubbermaid Incorporated | 651229106 | NWL | $363,732.23 |
 |
| Rackspace Hosting | 750086100 | RAX | $360,069.37 |
 |
| Occidental Petroleum Corporation | 674599105 | OXY | $358,714.32 |
 |
| Nordstrom Incorporated | 655664100 | JWN | $352,530.94 |
 |
| Federal National Mortgage Association | 31392GEN1 | N/A | $350,989.14 |
 |
| Manufactureres And Traders | 564759PS1 | N/A | $349,055.70 |
 |
| Quest Diagnostics Incorporated | 74834L100 | DGX | $347,577.00 |
 |
| Illinois Tool Works Incorporated | 452308109 | ITW | $340,714.34 |
 |
| Federal National Mortgage Association | 31385XLY1 | N/A | $338,853.79 |
 |
| Fed Hm Ln Pc Pool Q14304 | 3132HQX98 | N/A | $337,569.20 |
 |
| American Tower Corporation Reit | 03027X100 | AMT | $336,992.34 |
 |
| Great River Energy | 39121JAA8 | N/A | $336,529.28 |
 |
| Wal-Mart Stores Incorporated | 931142103 | WMT | $335,621.85 |
 |
| Whiting Petroleum Corporation | 966387102 | WLL | $333,200.27 |
 |
| Cwalt 2005-27 3a1 | 12667GP23 | N/A | $332,708.42 |
 |
| TIPS | 912828TE0 | N/A | $331,703.39 |
 |
| UBS Pfd Funding Tr V Series 1 | 90264AAA7 | N/A | $331,663.69 |
 |
| NVR Incorporated | 62944T105 | NVR | $330,966.11 |
 |
| Hertz Global Holdings Incorporated | 42805T105 | HTZ | $328,136.51 |
 |
| Small Business Administration | 83162CQL0 | N/A | $327,903.11 |
 |
| Ball Corporation | 058498106 | BLL | $327,898.98 |
 |
| Lam Research Corporation | 512807108 | LRCX | $324,344.30 |
 |
| Intercontinentalexchange Incorporated | 45865V100 | ICE | $323,666.32 |
 |
| Williams Companies Incorporated | 969457100 | WMB | $323,281.60 |
 |
| Pepperdine University | 71338QAA4 | N/A | $322,130.84 |
 |
| Nestle SA | 712387901 | NESN | $321,761.19 |
 |
| Symantec Corporation | 871503108 | SYMC | $320,658.52 |
 |
| New Hampshire Hsg Financial Authority | 64469DEB3 | N/A | $320,314.46 |
 |
| Oracle Corporation | 68389X105 | ORCL | $320,233.40 |
 |
| Cummins Incorporated | 231021106 | CMI | $319,207.87 |
 |
| Anheuser Busch Inbev Spn ADR Depository Receipts | 03524A108 | BUD | $318,591.62 |
 |
| KeyCorp | 493267108 | KEY | $314,950.53 |
 |
| Western Union Company | 959802109 | WU | $311,068.39 |
 |
| Wamu 2005-ar6 2a1c | 92922FJ25 | N/A | $309,982.28 |
 |
| Cwl 2007-s2 A6 | 12670BAF6 | N/A | $307,045.95 |
 |
| Sanofi-Aventis | 80105N105 | SNY | $305,572.16 |
 |
| Nisource Incorporated | 65473P105 | NI | $304,595.26 |
 |
| AmerisourceBergen Corporation | 03073E105 | ABC | $303,260.51 |
 |
| Devon Energy Corporation | 25179M103 | DVN | $302,916.97 |
 |
| L Brands Incorporated Common Stock Usd.5 | 501797104 | LTD | $302,733.74 |
 |
| WI Treasury N/b | 912828UK4 | N/A | $302,281.88 |
 |
| Kohl's Corporation | 500255104 | KSS | $300,602.61 |
 |
| Bed Bath & Beyond Inc | 075896100 | BBBY | $300,127.45 |
 |
| Toyota Motor Corporation | 690064001 | N/A | $298,530.81 |
 |
| Te Connectivity Ltd Common Stock Chf1.55 | H84989104 | TEL | $294,698.09 |
 |
| Fiserv Incorporated | 337738108 | FISV | $290,601.70 |
 |
| Corestates Capital Trust | 218694AA5 | N/A | $290,470.70 |
 |
| Intel Corporation | 458140100 | INTC | $289,789.35 |
 |
| U.S. Treasury N/b 02/43 | 912810QZ4 | N/A | $289,337.60 |
 |
| Fed Hm Ln Pc Pool Q14765 | 3132HRJJ0 | N/A | $288,941.03 |
 |
| Small Business Administration Sbap 2013 20a 1 | 83162CVG5 | N/A | $288,067.53 |
 |
| County of Cherokee GA | 164231KQ4 | N/A | $287,134.02 |
 |
| Merrill Lynch Mortgage Trust | 59022KAB1 | N/A | $286,855.94 |
 |
| Eli Lilly & Company | 532457108 | LLY | $285,791.73 |
 |
| Nlv Financial 144a | 65486AAA1 | N/A | $285,791.19 |
 |
| Valero Energy Corporation | 91913Y100 | VLO | $285,752.39 |
 |
| Roche Holdings Incorporated Series 144a | 771196AS1 | N/A | $285,162.25 |
 |
| Federal National Mortgage Association | 31393AP92 | N/A | $284,945.56 |
 |
| Catamaran Corporation | 148887102 | CTRX | $283,987.91 |
 |
| UnitedHealth Group Incorporated | 91324P102 | UNH | $283,172.70 |
 |
| Dicks Sporting Goods | 253393102 | DKS | $283,020.01 |
 |
| Wisconsin Hsg & Economic Dev Auth Home Ownership Rev | 97689P4H8 | N/A | $281,937.40 |
 |
| Vmware Incorporated | 928563402 | VMW | $281,224.78 |
 |
| Hartford Financial Services | 416515104 | HIG | $280,655.35 |
 |
| Wal-mart Stores Incorporated | 931142CJ0 | N/A | $279,399.59 |
 |
| Anadarko Petroleum Corporation | 032511107 | APC | $279,154.56 |
 |
| Charles Schwab Corporation (the) | 80851QDA9 | N/A | $278,482.69 |
 |
| Wmalt Mortgage Pass-through Certificiates Series 2006-ar4 Class Da | 939345AD6 | N/A | $277,536.96 |
 |
| WI Treasury N/b | 912828US7 | N/A | $277,096.77 |
 |
| Red Hat Incorporated | 756577102 | RHT | $275,897.66 |
 |
| Missouri High Ed Student Ln Frn | 606072KS4 | N/A | $275,014.62 |
 |
| TIPS | 912810FH6 | N/A | $274,871.42 |
 |
| BP PLC | 079805909 | N/A | $274,790.95 |
 |
| HSBC Capital Funding LP | 40429Q200 | N/A | $274,262.37 |
 |
| Best Buy Incorporated | 086516101 | BBY | $274,034.21 |
 |
| Freeport McMoRan Copper & Gold Incorporated | 35671D857 | FCX | $273,687.72 |
 |
| Ryder Sys Incorporated Fixed | 78355HJQ3 | N/A | $268,704.74 |
 |
| U.S. Treasury N/b | 912828SR2 | N/A | $268,529.99 |
 |
| Ww Grainger Incorporated | 384802104 | GWW | $267,380.69 |
 |
| Siemens Financieringmaatschapp Gtd Nt 144a | 826200AC1 | N/A | $264,693.86 |
 |
| Cardinal Health Incorporated | 14149Y108 | CAH | $264,002.22 |
 |
| Broadcom Corporation | 111320107 | BRCM | $263,054.72 |
 |
| Honda Motor CO Npv | 643514003 | N/A | $262,656.37 |
 |
| Boeing Company | 097023105 | BA | $262,406.98 |
 |
| Ohio St Hsg Fin Agy Residential Mtg Rev | 67756QCN5 | N/A | $261,666.03 |
 |
| RenaissanceRe Holdings Limited | G7496G103 | RNR | $260,321.59 |
 |
| Nike Incorporated-Cl B | 654106103 | NKE | $260,296.98 |
 |
| Agilent Technologies Incorporated | 00846U101 | A | $260,289.25 |
 |
| Maxim Integrated Products Incorporated | 57772K101 | MXIM | $259,731.87 |
 |
| Dominion Resources Incorporated | 25746U109 | D | $259,630.40 |
 |
| WI Infl Idx N/b Fixed | 912828MF4 | N/A | $259,175.53 |
 |
| Lockheed Martin Corp Fixed | 539830AT6 | N/A | $258,020.03 |
 |
| TD Ameritrade Holding Corporation | 87236Y108 | AMTD | $257,658.02 |
 |
| TIPS | 912828DH0 | N/A | $257,580.50 |
 |
| Novartis Limited AG | 710306903 | NOVN | $256,775.42 |
 |
| Linde AG | 574081907 | LIN | $256,456.47 |
 |
| Abb Treasury Center Usa Fixed 4 | 00038AAB9 | N/A | $256,400.93 |
 |
| Cintas Corporation | 172908105 | CTAS | $255,866.10 |
 |
| McGraw-Hill Incorporated | 580645109 | MHP | $255,761.85 |
 |
| Kellogg Company | 487836BD9 | N/A | $255,311.72 |
 |
| Hewlett-Packard Company | 428236103 | HPQ | $254,783.76 |
 |
| Anheuser Busch InBev | 475531901 | ABI | $254,542.55 |
 |
| Bayer AG | 506921907 | BAYN | $254,538.41 |
 |
| First Republic Bank/San Francisco | 33616C100 | FRC | $253,385.09 |
 |
| Citrix Sytems Incorporated | 177376100 | CTXS | $251,702.41 |
 |
| WI Treasury Sec | 912828UP3 | N/A | $250,905.71 |
 |
| TIPS | 912828CP3 | N/A | $250,763.22 |
 |
| Zurich Financial Services AG | 598381903 | ZURN | $250,058.09 |
 |
| Massachusetts St | 57582PWH9 | N/A | $249,889.60 |
 |
| Ohio Cnty W Va Cnty Commn Spl Ohigen 03/35 Fixed | 67732PAF5 | N/A | $249,552.72 |
 |
| TIPS | 912810FS2 | N/A | $248,989.25 |
 |
| Progressive Corporation | 743315103 | PGR | $247,834.42 |
 |
| Roche Holding AG | 711038901 | ROG | $245,652.49 |
 |
| Sabmiller Holdings Incorporated Notes 144a 3.75 | 78573AAA8 | N/A | $245,455.65 |
 |
| HCA Holdings Incorporated Common Stock Usd.01 | 40412C101 | HCA | $245,392.00 |
 |
| Target Corporation | 87612E106 | TGT | $245,165.85 |
 |
| Charles Schwab Corporation | 808513105 | SCHW | $245,124.73 |
 |
| Muenchener Rueckver AG | 529412900 | N/A | $244,904.95 |
 |
| Intuitive Surgical Inccomm | 46120E602 | ISRG | $244,198.69 |
 |
| TIPS | 912810FD5 | N/A | $243,067.93 |
 |
| Coca-Cola Enterprises Incorporated | 19122T109 | CCE | $242,778.19 |
 |
| Discovery Communications Incorporated Class C | 25470F104 | DISCA | $242,428.49 |
 |
| Dow Chemical Company | 260543103 | DOW | $242,312.22 |
 |
| Erp Operating LP Sr Unsecured | 26884AAZ6 | N/A | $241,715.71 |
 |
| Comerica Incorporated | 200340107 | CMA | $241,473.05 |
 |
| Tractor Supply Company | 892356106 | TSCO | $241,336.00 |
 |
| Allianz SE | 523148906 | ALV | $241,326.02 |
 |
| Fiserv Incorporated | 337738AH1 | N/A | $240,520.97 |
 |
| Linkedin Corp - A | 53578A108 | LNKD | $240,485.48 |
 |
| Bae Systems PLC Sr Unsecured 144a 4.75 | 05523RAB3 | N/A | $240,150.05 |
 |
| Fifth Third Bancorp Com | 316773100 | FITB | $239,426.16 |
 |
| U.S. Treasury Bond - Inflation Protected | 912828LA6 | N/A | $238,798.09 |
 |
| FNMA | 01F022444 | N/A | $237,726.22 |
 |
| TIPS | 912828FL9 | N/A | $237,035.49 |
 |
| Simon Property Group LP Sr Unsecured | 828807CJ4 | N/A | $236,678.28 |
 |
| Dartmouth College | 89837RAA0 | N/A | $236,275.06 |
 |
| Citigroup Incorporated | 172967EM9 | N/A | $235,833.90 |
 |
| Cigna Corporation | 125509109 | CI | $235,025.91 |
 |
| Directv Common Stock Usd.01 | 25490A309 | DTV | $233,776.87 |
 |
| U.S. Treasury Bond - Inflation Protected | 912828JX9 | N/A | $232,847.66 |
 |
| TIPS | 912828MY3 | N/A | $232,437.05 |
 |
| Fortinet Incorporated Common Stock | 34959E109 | FTNT | $231,691.69 |
 |
| Sequoia Mortgage Trust | 81743VAA1 | N/A | $230,775.66 |
 |
| Federal National Mortgage Association | 3138MLEZ3 | N/A | $230,378.31 |
 |
| TIPS | 912828EA4 | N/A | $230,308.90 |
 |
| Unilever NV | B12T3J908 | UNA | $229,789.82 |
 |
| Metropolitan Life Global Funding I | 59217EBW3 | N/A | $229,478.10 |
 |
| Lyondellbasell Indu Cl A Common Stock | N53745100 | LYB | $229,132.50 |
 |
| Japan Tobacco Incorporated | 647453901 | N/A | $229,029.88 |
 |
| Rock-tenn Co-a | 772739207 | RKT | $228,276.14 |
 |
| The Travelers Companies Incorporated | 89417E109 | TRV | $228,034.81 |
 |
| Harris Cnty TX Har Fixed | 414005SA7 | N/A | $226,750.48 |
 |
| National City Bank/cleveland Oh | 63534PAH0 | N/A | $226,547.67 |
 |
| U.S. Treasury N/b | 912828TT7 | N/A | $226,311.30 |
 |
| U.S. Treasury N/b 11/42 2.75 | 912810QY7 | N/A | $221,875.04 |
 |
| Indiana Housing & Community Development Authority Series A-2 | 454806DP2 | N/A | $220,735.55 |
 |
| TIPS | 912828JE1 | N/A | $220,467.41 |
 |
| HSBC Holdings PLC | 054052907 | HSBA | $220,239.68 |
 |
| U.S. Treasury N/b | 912828SP6 | N/A | $219,051.39 |
 |
| Deutsche Bank Cap Fd Ser 144a | 25153RAA0 | N/A | $218,397.30 |
 |
| The Allstate Corporation | 020002101 | ALL | $217,744.24 |
 |
| AIA Group Limited | B4TX8S909 | N/A | $217,698.14 |
 |
| Liberty Property Trust | 53117CAL6 | N/A | $217,654.61 |
 |
| Shire PLC ADR | 82481R106 | SHPG | $217,371.10 |
 |
| Ecolab Incorporated | 278865100 | ECL | $214,633.73 |
 |
| SVB Financial Group | 78486Q101 | SIVB | $214,539.11 |
 |
| Carnival Corporation | 143658300 | CCL | $212,260.86 |
 |
| Cargill Incorporated Fixed | 141781AY0 | N/A | $211,887.14 |
 |
| Canadian Pacific Railway Limited | 13645T100 | CP | $211,230.64 |
 |
| Southwest Airlines Company | 844741108 | LUV | $210,605.07 |
 |
| Boston Ma Bos Fixed | 100853PB0 | N/A | $209,760.41 |
 |
| U.S. Treasury N/b | 912828UT5 | N/A | $209,555.64 |
 |
| U.S. Treasury N/b Fixed | 912828PJ3 | N/A | $208,823.90 |
 |
| O'reilly Automotive Inc. | 67103H107 | ORLY | $208,610.92 |
 |
| King Cnty Wa Sch Dist 210 Fed Kinscd Fixed | 494890YF7 | N/A | $208,412.90 |
 |
| Total SA | B15C55900 | FP | $207,528.55 |
 |
| Darden Restaurants Incorporated | 237194105 | DRI | $206,744.47 |
 |
| FHLMC | 02R030665 | N/A | $206,129.06 |
 |
| FNMA | 31418AJY5 | N/A | $205,848.45 |
 |
| TIPS | 912810PZ5 | N/A | $205,083.24 |
 |
| InterOil Corporation | 460951106 | IOC | $205,019.81 |
 |
| National-Oilwell Varco Incorporated | 637071101 | NOV | $204,879.56 |
 |
| Marriott International Incorporated | 571903202 | MAR | $204,594.58 |
 |
| Praxair Incorporated | 74005PAY0 | N/A | $204,405.39 |
 |
| Fed Hm Ln Pc Pool U90694 | 3132H3XX6 | N/A | $203,632.17 |
 |
| Realty Income Corporation | 756109AF1 | N/A | $203,098.22 |
 |
| WI Treasury Sec Fixed | 912810QP6 | N/A | $202,165.45 |
 |
| U.S. Treasury N/b Fixed | 912810QK7 | N/A | $199,188.31 |
 |
| Michael Kors Holdings Ltd Common Stock Npv | G60754101 | KORS | $197,078.24 |
 |
| Federal National Mortgage Association | 31418AK72 | N/A | $197,032.36 |
 |
| Liberty Global Inc- Series C | 530555309 | LBTYK | $195,101.99 |
 |
| Axis Capital Holdings Limited | G0692U109 | AXS | $194,801.76 |
 |
| Ford Motor Company | 345370860 | F | $193,282.08 |
 |
| U.S. Treasury Bond - Inflation Protected | 912810PV4 | N/A | $192,815.03 |
 |
| Henkel Kgaa - Spons ADR | 42550U109 | HENKY | $192,570.05 |
 |
| Siemens AG | 572797900 | SIE | $191,941.90 |
 |
| Sanofi-Aventis SA | 567173901 | SAN | $190,291.88 |
 |
| Federal National Mortgage Association | 3136AAGX7 | N/A | $189,901.89 |
 |
| Vessel Management Servic U.S. Govt Guar 08/36 | 925387AF9 | N/A | $189,589.03 |
 |
| Phillips 66 Company Guar 2.95 | 718546AJ3 | N/A | $189,511.85 |
 |
| Dover Corporation | 260003108 | DOV | $189,184.27 |
 |
| iShares Russell 2000 Value | 464287630 | IWN | $188,393.03 |
 |
| Directv Holdings/fing Company Guar | 25459HBE4 | N/A | $188,110.25 |
 |
| Progress Energy Carolina | 144141DC9 | N/A | $187,941.58 |
 |
| Federal National Mortgage Association | 31418AR26 | N/A | $187,774.46 |
 |
| American Water Works CO Incorporated | 030420103 | AWK | $187,373.06 |
 |
| Otter Tail Corp Fixed 9 | 689648AR4 | N/A | $187,287.72 |
 |
| Avon Products Incorporated | 054303102 | AVP | $186,890.90 |
 |
| Footlocker Inccommon Stock | 344849104 | FL | $186,854.37 |
 |
| General Electric Capital Corporation | 36962GW75 | N/A | $186,660.39 |
 |
| United Rentals | 911363109 | URI | $186,477.63 |
 |
| Noble Energy Incorporated | 655044105 | NBL | $186,405.38 |
 |
| Capital One Financial Corporation | 14040H105 | COF | $186,279.56 |
 |
| Altria Group Incorporated | 02209S103 | MO | $185,342.00 |
 |
| Morgan Stanley Fixed | 6174467P8 | N/A | $184,848.57 |
 |
| Clear Creek TX Indep Sch Dist Clescd Fixed | 1845403R1 | N/A | $184,264.99 |
 |
| FNMA | 31402CVW9 | N/A | $183,500.34 |
 |
| TIPS | 912810PS1 | N/A | $183,303.53 |
 |
| Ross Stores Incorporated | 778296103 | ROST | $182,472.89 |
 |
| Molex Incorporated-Cl A | 608554200 | MOLXA | $181,900.80 |
 |
| Federal National Mortgage Association | 3138MQDN0 | N/A | $181,836.03 |
 |
| Ppl Corporation | 69351T106 | PPL | $181,764.75 |
 |
| Duke University Taxable Series A | 264416AN8 | N/A | $180,853.59 |
 |
| Bristol-Myers Squibb Company | 110122108 | BMY | $180,846.97 |
 |
| Lincoln National Corporation | 534187109 | LNC | $180,036.33 |
 |
| Noble Corporation | H5833N103 | NE | $179,185.98 |
 |
| Express Scripts Holding CO Common Stock Usd.01 | 30219G108 | ESRX | $179,122.27 |
 |
| Pearson Dlr Fin Two PLC Gtd Sr Nt 144a | 705010AB2 | N/A | $179,098.43 |
 |
| At+t Incorporated Sr Unsecured | 00206RBC5 | N/A | $178,963.33 |
 |
| Rio Tinto Fin Usa Ltd Fixed 3.75 | 767201AQ9 | N/A | $178,768.15 |
 |
| Mercadolibre Incorporated | 58733R102 | MELI | $178,046.24 |
 |
| VF Corporation | 918204108 | VFC | $177,810.22 |
 |
| Stryker Corporation | 863667101 | SYK | $177,468.71 |
 |
| Ntc Capital I | 629394AA5 | N/A | $177,376.19 |
 |
| Diageo PLC ADR | 25243Q205 | DEO | $177,365.65 |
 |
| U.S. Treasury Bond - Inflation Protected | 912828GD6 | N/A | $176,805.57 |
 |
| Alliance Data Systems Corporation | 018581108 | ADS | $175,626.92 |
 |
| WI Treasury Sec | 912828UR9 | N/A | $175,051.08 |
 |
| Ashland Incorporated | 044209104 | ASH | $174,825.03 |
 |
| Deere & Company | 244199105 | DE | $174,822.22 |
 |
| Tsmc Global Ltd Sr Unsecured 144a | 872882AC9 | N/A | $174,051.15 |
 |
| Weyerhaeuser Company | 962166104 | WY | $173,457.77 |
 |
| ENI SPA | 714505906 | ENI | $173,260.68 |
 |
| International Paper Company | 460146103 | IP | $172,871.91 |
 |
| Abbvie Incorporated Common Stock Usd.01 | 00287Y109 | ABBV | $172,847.95 |
 |
| Black & Decker | 091797AN0 | N/A | $172,754.55 |
 |
| Royal Dutch Shell PLC | B03MM4906 | RDSB | $170,595.80 |
 |
| Slm Corporation | 78442P106 | SLM | $170,178.98 |
 |
| Sk Telecom Krw500 | 622487908 | N/A | $169,969.36 |
 |
| US Bancorp | 902973304 | USB | $169,536.41 |
 |
| TIPS | 912828ET3 | N/A | $169,401.17 |
 |
| Mitsubishi Ufj Fin Group Npv | 633517909 | N/A | $169,041.53 |
 |
| Chait 2012 A6 A Flt | 161571FM1 | N/A | $168,275.91 |
 |
| Marathon Petroleum Corp Common Stock | 56585A102 | MPC | $168,031.92 |
 |
| Viacom Incorporated Cl. B | 92553P201 | VIAB | $166,300.95 |
 |
| FNMA | 3138EGXA7 | N/A | $165,990.20 |
 |
| Willis Group Holdings | G96666105 | WSH | $165,676.85 |
 |
| OSI Systems Incorporated | 671044105 | OSIS | $165,176.22 |
 |
| News Corporation Class A | 65248E104 | NWSA | $163,655.56 |
 |
| Thermo Fisher Scientific Incorporated | 883556102 | TMO | $162,967.01 |
 |
| Stanley Black&decker Incorporated | 854502101 | SWK | $162,105.78 |
 |
| American Campus Communities | 024835100 | ACC | $162,036.53 |
 |
| Oregon St Ors Fixed | 68608USS6 | N/A | $161,805.36 |
 |
| Sabmiller PLC Ord Usd0.10 | 048354906 | SAB | $161,476.96 |
 |
| Federal National Mortgage Association | 31393U4Q3 | N/A | $158,845.93 |
 |
| U.S. Treasury Bond - Inflation Protected | 912828HN3 | N/A | $158,383.17 |
 |
| Honywell International Incorporated | 438516106 | HON | $158,364.77 |
 |
| Genesee & Wyoming Incorporated | 371559105 | GWR | $157,141.29 |
 |
| Deere + Company Sr Unsecured | 244199BE4 | N/A | $157,074.36 |
 |
| United States Treas Bds 02/40 Fixed | 912810QF8 | N/A | $156,517.49 |
 |
| Federal National Mortgage Association | 31392B6U5 | N/A | $155,990.84 |
 |
| Estee Lauder Companies Incorporated Class A | 518439104 | EL | $154,826.28 |
 |
| Atlantic City Electric Company | 048303CD1 | N/A | $154,267.04 |
 |
| Randgold Resources Limited ADR | 752344309 | GOLD | $154,044.55 |
 |
| General Mills Incorporated | 370334104 | GIS | $153,605.67 |
 |
| Baidu.com Incorporated ADR | 056752108 | BIDU | $153,149.07 |
 |
| Caterpillar Incorporated | 149123101 | CAT | $152,763.22 |
 |
| Denbury Resources Incorporated | 247916208 | DNR | $152,209.82 |
 |
| Kentucky Housing Corporation | 49130P4M3 | N/A | $151,490.09 |
 |
| Chimera Investment Corporation | 16934Q109 | CIM | $150,458.04 |
 |
| Regions Financial Corporation | 7591EP100 | RF | $149,619.25 |
 |
| Abbott Laboratories | 002824100 | ABT | $148,759.20 |
 |
| Yahoo! Incorporated | 984332106 | YHOO | $148,204.69 |
 |
| Joy Global Incorporated | 481165108 | JOY | $147,838.49 |
 |
| GNC Holdings Incorporated | 36191G107 | GNC | $147,194.43 |
 |
| CBRE Group Incorporated | 12504L109 | CBG | $146,477.97 |
 |
| Mondelez International Incorporated A Common Stock Npv | 609207105 | MDLZ | $145,962.66 |
 |
| New Aetna Inc | 00817Y108 | AET | $145,832.61 |
 |
| Mckesson Corporation | 58155Q103 | MCK | $144,642.53 |
 |
| Wolseley PLC | B8N69M907 | WOS | $144,634.16 |
 |
| Time Warner Incorporated | 887317303 | TWX | $144,432.42 |
 |
| Kraft Foods Group Incorporated Sr Unsecured | 50076QAZ9 | N/A | $143,875.33 |
 |
| ABB Limited | 710889908 | ABBN | $143,710.22 |
 |
| ON Assignment Incorporated | 682159108 | ASGN | $143,452.98 |
 |
| National Capital Commerce Inc | 635454AC5 | N/A | $143,000.96 |
 |
| Urs Corporation | 903236107 | URS | $140,558.38 |
 |
| Duke Realty LP Fixed 6.75 | 26441YAU1 | N/A | $139,989.46 |
 |
| Endologix Incorporated | 29266S106 | ELGX | $139,478.84 |
 |
| Devon Energy Corporation Sr Unsecured | 25179MAM5 | N/A | $138,891.20 |
 |
| Sap AG Npv | 484628904 | SAP | $138,174.20 |
 |
| Itochu Corp Npv | 646780007 | N/A | $138,162.32 |
 |
| China Everbright Limited | 645514902 | N/A | $138,070.17 |
 |
| Jabil Circuit Incorporated | 466313AD5 | N/A | $137,787.39 |
 |
| Morgan Stanley | 617446448 | MS | $137,570.65 |
 |
| Duke Energy Corp Common Stock Usd.001 | 26441C204 | DUK | $137,160.64 |
 |
| Baltimore Cnty Md Bal 08/32 Fixed | 05914FMM9 | N/A | $136,421.54 |
 |
| Triumph Group Incorporated | 896818101 | TGI | $135,773.34 |
 |
| Mettler-Toledo International Incorporated | 592688105 | MTD | $135,633.21 |
 |
| Delta Air Lines Incorporated | 247361702 | DAL | $135,605.57 |
 |
| Mccormick Mkc 5 | 579780AF4 | N/A | $135,486.54 |
 |
| Amercrombie & Fitch Co. Cl A | 002896207 | ANF | $135,205.73 |
 |
| U.S. Treasury N/b | 912828SZ4 | N/A | $135,153.26 |
 |
| Vodafone Group | B16GWD903 | VOD | $134,235.39 |
 |
| AstraZeneca PLC | 098952906 | AZN | $133,368.34 |
 |
| Simon Property Group Incorporated | 828806109 | SPG | $133,365.89 |
 |
| Conn Light & Power Nu 5 Series A | 207597DW2 | N/A | $132,355.87 |
 |
| Pernod Ricard Npv | 468232004 | RI | $132,109.17 |
 |
| The Kroger Company | 501044101 | KR | $132,102.72 |
 |
| Tsy Infl Ix N/b 0.125 | 912828UH1 | N/A | $131,260.82 |
 |
| Udr Incorporated Company Guar | 90265EAG5 | N/A | $130,995.44 |
 |
| Gannett Company Incorporated | 364730101 | GCI | $130,801.74 |
 |
| Intesa Sanpaolo | 407683002 | ISP | $130,585.23 |
 |
| U.S. Treasury N/b | 912828UD0 | N/A | $130,585.11 |
 |
| Magna International Inc Class | 559222401 | MGA | $130,306.73 |
 |
| Federal National Mortgage Association | 3138EKRX5 | N/A | $130,176.41 |
 |
| Harman International Industries | 413086109 | HAR | $129,808.70 |
 |
| U.S. Treasury Note | 912828KJ8 | N/A | $129,240.51 |
 |
| Wynn Resorts Limited | 983134107 | WYNN | $129,226.29 |
 |
| Nxp Semiconductors Nv Common Stock | N6596X109 | NXPI | $128,375.93 |
 |
| California St | 13063A5E0 | N/A | $128,314.95 |
 |
| Deutsche Post AG Npv Regd | 461785909 | DPW | $128,279.81 |
 |
| Ulta Salon Cosmetics & Fragrance Incorporated | 90384S303 | ULTA | $128,083.72 |
 |
| Fed Hm Ln Pc Pool G06941 | 3128M9BJ0 | N/A | $127,658.09 |
 |
| Unum Group | 91529Y106 | UNM | $127,569.99 |
 |
| Argo Group International Holdings Limited | G0464B107 | AGII | $127,321.67 |
 |
| Akorn Incorporated | 009728106 | AKRX | $127,308.27 |
 |
| King Cnty Wa Kin Fixed | 49474E3X9 | N/A | $127,299.91 |
 |
| Debenhams Ord Ord Gbp0.01 | B126KH903 | DEB | $126,959.67 |
 |
| Credit Suisse Group | 717158901 | CSGN | $126,676.91 |
 |
| Imperial Tobacco Ord Gbp0.10 | 045449907 | IMT | $126,543.23 |
 |
| Metro AG | 504141904 | MEO | $126,428.21 |
 |
| Skyworks Solutions Incorporate | 83088M102 | SWKS | $125,248.25 |
 |
| Federal Home Loan Mortgage Company | 02R022456 | N/A | $124,923.36 |
 |
| Peabody Engr Corp Com | 704549104 | BTU | $123,538.54 |
 |
| E.I. du Pont De Nemours & Company | 263534109 | DD | $123,159.82 |
 |
| Green Tree 1997-7 A8 | 393505XT4 | N/A | $122,915.77 |
 |
| Fed Hm Ln Pc Pool A87980 | 3129342M3 | N/A | $121,740.09 |
 |
| Burlingtn North Santa Fe Fixed 3.45 | 12189LAF8 | N/A | $121,736.44 |
 |
| iShares Russell 2000 Index Fund | 464287655 | IWM | $121,035.19 |
 |
| Daiwa Securities Group Incorporated | 625144001 | N/A | $120,597.40 |
 |
| NRG Energy Incorporated | 629377508 | NRG | $120,309.37 |
 |
| Bank of New York Mellon Fixed | 06406HBX6 | N/A | $120,044.84 |
 |
| Reckitt Benckiser Group PLC | B24CGK904 | N/A | $119,277.17 |
 |
| Apache Corp Sr Unsecured | 037411AZ8 | N/A | $118,938.64 |
 |
| Asahi Glass CO Jpy50 | 605520006 | N/A | $118,597.48 |
 |
| Union Pacific Corp 2.95 | 907818DM7 | N/A | $117,462.69 |
 |
| Swiss Re Ltd Common Stock | ACI00MQT5 | SREN | $117,432.79 |
 |
| U.S. Treasury Bond | 912810FQ6 | N/A | $117,045.78 |
 |
| Phillips 66 | 718546104 | PSX | $116,610.24 |
 |
| Capita PLC | B23K0M900 | CPI | $116,599.60 |
 |
| Norfolk Southern Corporation | 655844108 | NSC | $116,320.34 |
 |
| Chase Issuance Trust Chait 2011 A2 A2 | 161571EY6 | N/A | $116,216.10 |
 |
| Energy XXI Bermuda | G10082140 | EXXI | $114,388.41 |
 |
| AES Corporation | 00130H105 | AES | $113,876.50 |
 |
| Schneider Electric Eur8 | 483410007 | SU | $113,729.11 |
 |
| Lowes Companies Incorporated | 548661107 | LOW | $112,867.24 |
 |
| Teck Resources Ltd | 878744AA9 | N/A | $112,729.86 |
 |
| Federal National Mortgage Association | 3138EKRV9 | N/A | $112,582.68 |
 |
| Micron Technology Incorporated | 595112103 | MU | $112,330.76 |
 |
| Henkel AG + CO Kgaa Non Vtg Prf Npv | 507670909 | N/A | $112,287.27 |
 |
| Beiersdorf AG Npv | 510740905 | BEI | $111,985.71 |
 |
| Marine Harvest Asa Nok0.75 | B02L48900 | MHG | $111,298.19 |
 |
| China Mobile Limited | 607355906 | N/A | $110,545.79 |
 |
| Volvo Ab Ser B Npv (post Split) | B1QH83908 | VOLVB | $110,221.75 |
 |
| Samsung Electr Gdr Reg S Gdr | 494281900 | SMSN | $109,404.73 |
 |
| The Southern Company | 842587107 | SO | $109,330.24 |
 |
| Akzo Nobel N.V. | 545831901 | AKZA | $109,022.50 |
 |
| Mitsui O.S.K. Lines, Limited | 659758007 | N/A | $108,509.92 |
 |
| Emerson Electric Company | 291011104 | EMR | $108,177.81 |
 |
| Cameron International Corporation | 13342B105 | CAM | $107,659.74 |
 |
| Burlington North Santa Fe Corporation | 12189TAY0 | N/A | $107,473.01 |
 |
| Goldman Sachs Group Inc/the | 38141GGS7 | N/A | $106,651.49 |
 |
| Hengdeli Holdings Ltd Common Stock Hkd.005 | B1QDWP901 | N/A | $105,889.24 |
 |
| Sourcefire Incorporated | 83616T108 | FIRE | $105,596.76 |
 |
| Unibail Rodamco Se Eur5 | 707624904 | UL | $105,536.12 |
 |
| Texas Instruments Incorporated | 882508104 | TXN | $105,108.69 |
 |
| Nitto Denko Corporation | 664180007 | N/A | $103,246.26 |
 |
| Westlake Chemical Corporation | 960413102 | WLK | $102,418.64 |
 |
| Ensco PLC Fixed | 29358QAA7 | N/A | $102,409.41 |
 |
| Kabel Deutschland Holding AG Common Stock Npv | 959HBM905 | N/A | $101,857.80 |
 |
| Kimberly-Clark Corporation | 494368103 | KMB | $101,840.51 |
 |
| U.S. Treasury Bond | 912810PX0 | N/A | $101,815.45 |
 |
| Nucor Corporation | 670346105 | NUE | $101,635.45 |
 |
| Pulte Homes Incorporated | 745867101 | PHM | $101,585.27 |
 |
| Valeant Pharmaceuticals International Inc. | 91911K102 | VRX | $101,065.25 |
 |
| Halliburton Company | 406216101 | HAL | $100,970.39 |
 |
| Man Group PLC Common Stock Usd.428571 | B83VD9908 | EMG | $100,883.45 |
 |
| Union Pacific Corp | 907818DB1 | N/A | $100,704.64 |
 |
| Synovus Financial Corporation | 87161C105 | SNV | $100,066.47 |
 |
| Imax Corporation | 45245E109 | IMAX | $99,772.70 |
 |
| Financial Engines Incorporated | 317485100 | FNGN | $99,149.37 |
 |
| BASF SE Common Stock NPV | ACI0054Q2 | BAS | $98,984.75 |
 |
| Barrick Gold Corp Com | 067901959 | ABX | $98,310.77 |
 |
| Fed Hm Ln Pc Pool U90696 | 3132H3XZ1 | N/A | $98,227.34 |
 |
| Shfl Entertainment Incorporated Common Stock Usd.01 | 78423R105 | SHFL | $98,080.89 |
 |
| Range Resources Corporation | 75281A109 | RRC | $97,573.62 |
 |
| Ixia | 45071R109 | XXIA | $97,523.13 |
 |
| UBS AG Chf0.1 (post Subdivision) | B18YFJ908 | UBSN | $96,956.61 |
 |
| Airgas Incorporated | 009363102 | ARG | $96,402.65 |
 |
| Northern Trust Corporation | 665859104 | NTRS | $96,141.35 |
 |
| Shutterfly Incorporated | 82568P304 | SFLY | $95,998.01 |
 |
| Capcom CO Jpy50 | 617369004 | N/A | $95,752.49 |
 |
| Innerworkings Incorporated | 45773Y105 | INWK | $95,587.60 |
 |
| Delphi Automotive PLC | G27823106 | DLPH | $95,417.91 |
 |
| Government National Mortgage Association | 36225AVT4 | N/A | $94,956.06 |
 |
| EOG Resources Incorporated | 26875P101 | EOG | $93,322.91 |
 |
| Federal Home Loan Mortgage Company | 3133TMFZ4 | N/A | $93,278.79 |
 |
| Teva Pharmaceutical Industries Limited | 881624209 | TEVA | $92,064.69 |
 |
| Redwood Trust Incorporated | 758075402 | RWT | $91,841.39 |
 |
| Westpac Bkg Corp Npv | 607614005 | WBC | $91,293.39 |
 |
| Bank of America Credit Card Trust Series 2007-a6 Class A6 | 05522RAZ1 | N/A | $90,647.67 |
 |
| Boston Properties LP Sr Unsecured | 10112RAT1 | N/A | $90,507.65 |
 |
| Nelnet Student Loan Trust Nslt 2007 2a A3l 144a | 64032FAG9 | N/A | $90,285.84 |
 |
| Federal Home Loan Mortgage Company | 02R022647 | N/A | $90,244.32 |
 |
| Avago Technologies Ltd Common Stock | Y0486S104 | AVGO | $89,891.94 |
 |
| Weatherford Bermuda Company Guar | 94707VAC4 | N/A | $89,763.40 |
 |
| Federal National Mortgage Association | 3138M2BM7 | N/A | $89,433.97 |
 |
| SolarWinds Incorporated | 83416B109 | SWI | $89,416.23 |
 |
| Smiths Group Ord Gbp0.375 | B1WY23900 | SMIN | $89,330.81 |
 |
| Slm Student Loan Trust Slma 2004 8a A5 144a | 78442GMS2 | N/A | $89,027.80 |
 |
| Boston Scientific Corporation | 101137107 | BSX | $88,991.77 |
 |
| Federal Home Loan Mortgage Company | 02R032653 | N/A | $88,369.93 |
 |
| NextEra Energy Incorporated | 65339F101 | NEE | $88,290.86 |
 |
| Federal National Mortgage Association | 31417EXF3 | N/A | $87,933.69 |
 |
| Flowserve Corporation | 34354P105 | FLS | $87,801.88 |
 |
| Whirlpool Corporation | 963320106 | WHR | $87,769.19 |
 |
| Bank of New York Mellon Corporation | 064058100 | BK | $87,325.80 |
 |
| Yum! Brands Incorporated | 988498101 | YUM | $86,948.85 |
 |
| Asbury Automotive Group | 043436104 | ABG | $86,835.62 |
 |
| Acco Brands Corporation | 00081T108 | ACCO | $86,701.46 |
 |
| Blackrock Incorporated | 09247X101 | BLK | $86,635.34 |
 |
| United Technologies Corp Sr Unsecured | 913017BV0 | N/A | $86,529.39 |
 |
| Nissan Motor CO Npv | 664286002 | N/A | $85,711.53 |
 |
| Nelnet Student Ln Tr 2006 2 Asset Bkd Nt Cl A 4 Var Rate | 640315AD9 | N/A | $85,687.93 |
 |
| BT Group | 309135903 | N/A | $85,670.05 |
 |
| Governement Natl Mortg Assn | 01N030646 | N/A | $85,561.08 |
 |
| CareFusion Corporation | 14170T101 | CFN | $85,181.19 |
 |
| Portfolio Recovery Association | 73640Q105 | PRAA | $84,863.58 |
 |
| Ensign Group Incorporated | 29358P101 | ENSG | $84,696.65 |
 |
| Automatic Data Processing Incorporated | 053015103 | ADP | $84,563.22 |
 |
| Wabash National Corporation | 929566107 | WNC | $84,446.79 |
 |
| Brenntag AG Common Stock Npv | B4YVF5909 | BNR | $84,377.10 |
 |
| Potlatch Corporation Fixed | 737630AB9 | N/A | $84,333.90 |
 |
| Richemont Cie Fin Chf1 | B3DCZF902 | CFR | $84,260.22 |
 |
| TEREX Corporation | 880779103 | TEX | $84,048.95 |
 |
| Tutor Prini Corporation | 901109108 | TPC | $83,468.25 |
 |
| Onyx Pharmaceuticals Incorporated | 683399109 | ONXX | $83,254.61 |
 |
| KDDI Corporation | 624899902 | N/A | $83,234.56 |
 |
| Jp Morgan Chase Commercial Mortgage Securities Corporation Series 2006-cb17 Class A4 | 46630EAC4 | N/A | $83,209.82 |
 |
| Discover Card Master Trust Dcent 2011 A1 A1 | 254683AP0 | N/A | $82,970.48 |
 |
| Holcim Chf2(regd) | 711075903 | HOLN | $82,531.79 |
 |
| Sumitomo Mitsui Group | 656302908 | N/A | $82,523.45 |
 |
| Crh Ord Iep0.32(dublin Listing) | 418224002 | CRH | $82,440.45 |
 |
| Tyson Foods Incorporated Cl A | 902494103 | TSN | $82,238.72 |
 |
| Kraft Foods Group Incorporated Common Stock | 50076Q106 | KRFT | $81,876.22 |
 |
| Team Health Holdings LLC Common Stock | 87817A107 | TMH | $81,850.88 |
 |
| Government National Mortgage Association | 21H030641 | N/A | $81,610.89 |
 |
| DexCom | 252131107 | DXCM | $81,511.87 |
 |
| Primoris Services Corporation | 74164F103 | PRIM | $81,322.92 |
 |
| Wpp PLC Common Stock Gbp.1 | B8KF9B904 | WPP | $81,296.65 |
 |
| Apache Corporation | 037411105 | APA | $81,056.00 |
 |
| Mizuho Financial Group Incorporated, GB NPV | 659101901 | N/A | $80,954.48 |
 |
| Ace Limited | H0023R105 | ACE | $80,952.29 |
 |
| China Petroleum & Chemical Corporation | 629181900 | N/A | $80,710.12 |
 |
| Federal National Mortgage Association | 3138EKQU2 | N/A | $80,485.74 |
 |
| KLA-Tencor Corporation | 482480100 | KLAC | $80,083.42 |
 |
| U.S. Treasury Bond - Inflation Protected | 912828GX2 | N/A | $79,535.70 |
 |
| Daimler AG | 552902900 | DAI | $79,258.49 |
 |
| Caterpillar Incorporated Senior Notes | 149123BZ3 | N/A | $79,120.62 |
 |
| Henkel Kgaa ADR Preferred | 42550U208 | HENOY | $79,070.86 |
 |
| Exelon Corporation | 30161N101 | EXC | $79,053.50 |
 |
| DXP Enterprises Incorporated | 233377407 | DXPE | $78,992.81 |
 |
| Marvell Technology Group Limited | G5876H105 | MRVL | $78,809.55 |
 |
| Staples Incorporated | 855030102 | SPLS | $78,428.38 |
 |
| Tesco Ord Gbp0.05 | 088470000 | TSCO | $78,363.37 |
 |
| Heidelbergcement Npv | 512067901 | HEI | $78,357.52 |
 |
| Zodiac Aerospace Npv | 729433904 | ZC | $78,158.39 |
 |
| Minnesota St Hsg Fin Agy | 60415NA85 | N/A | $78,083.93 |
 |
| Federal National Mortgage Association | 3138EKMQ5 | N/A | $78,056.87 |
 |
| Gccfc_05-gg5 | 396789LL1 | N/A | $77,958.87 |
 |
| Bank of America Corporation Sr Unsecured 2. | 06051GET2 | N/A | $77,910.93 |
 |
| Nelnet Student Ln Tr 2006 1 Asset Bkd Nt Cl A4 | 64031QCR0 | N/A | $77,251.18 |
 |
| Fedex Corporation | 31428X106 | FDX | $77,008.98 |
 |
| Linear Technology Corporation | 535678106 | LLTC | $76,906.83 |
 |
| GlaxoSmithKline PLC | 092528900 | GSK | $76,769.41 |
 |
| Time Warner Cable Incorporated-Cl A | 88732J207 | TWC | $76,120.27 |
 |
| Nelnet Student Loan Trust Nslt 2005 2 A5 | 64031QBX8 | N/A | $75,992.87 |
 |
| Yamada Denki CO Jpy50 | 698502002 | N/A | $75,044.18 |
 |
| Government National Mortgage Association | 36241LWQ5 | N/A | $75,008.78 |
 |
| Federal National Mortgage Association | 31417FZK7 | N/A | $73,862.53 |
 |
| Swatch Group | 718472905 | UHR | $73,690.50 |
 |
| Otsuka Holdings Company Limited | B5LTM9909 | N/A | $73,681.91 |
 |
| Prudential Financial Incorporated | 744320102 | PRU | $73,554.46 |
 |
| Land Secs Gp Ord Gbp.10 | 318094901 | LAND | $73,308.32 |
 |
| Murray St Inv Trust I Company Guar Var | 62718QAA3 | N/A | $73,161.36 |
 |
| Hana Financial Hol Krw5000 | B0RNRF908 | N/A | $72,948.69 |
 |
| Xilinx Incorporated | 983919101 | XLNX | $72,885.81 |
 |
| Cray Incorporated | 225223304 | CRAY | $72,670.14 |
 |
| Synchronoss Technologies Incorporated | 87157B103 | SNCR | $72,229.17 |
 |
| GMAC Mortgage Corporation Loan Trust Series 2005-he1 Class A1vn | 361856ED5 | N/A | $71,469.47 |
 |
| Barclays Ord Gbp0.25 | 313486904 | BARC | $71,437.49 |
 |
| Ultimate Software Group Incorporated | 90385D107 | ULTI | $70,972.31 |
 |
| Duke Realty LP | 26441YAW7 | N/A | $70,615.25 |
 |
| Interxion Holding Nv Common Stock Eur.1 | N47279109 | INXN | $70,550.41 |
 |
| General Motors CO Common Stock Usd.01 | 37045V100 | GM | $70,334.31 |
 |
| Homeaway Incorporated Common Stock Usd.0001 | 43739Q100 | AWAY | $70,224.19 |
 |
| Standard Chartered Ord Usd0.50 | 040828907 | STAN | $70,015.00 |
 |
| Titan Machinery Incorporated | 88830R101 | TITN | $69,970.08 |
 |
| Akamai Technologies Incorporated | 00971T101 | AKAM | $69,909.32 |
 |
| Stifel Financial Corpcommo | 860630102 | SF | $69,572.49 |
 |
| Lockheed Martin Corporation | 539830109 | LMT | $69,296.40 |
 |
| Bae Systems Ord Gbp0.025 | 026349902 | N/A | $69,275.25 |
 |
| Diageo PLC | 023740905 | DGE | $69,143.02 |
 |
| U.S. Treasury N/b | 912828TU4 | N/A | $69,059.88 |
 |
| Mobile Telesystems ADR | 607409109 | MBT | $68,284.01 |
 |
| Banco Santander SA | 570594903 | SAN | $68,032.90 |
 |
| Ngk Insulators Jpy50 | 661950006 | N/A | $67,839.59 |
 |
| Omnicell Incorporated | 68213N109 | OMCL | $67,741.03 |
 |
| Palo Alto Networks Incorporated Common Stock Usd.0001 | 697435105 | PANW | $67,724.39 |
 |
| Slm Student Loan Trust Slma 2012 E A1 144a | 78447FAA1 | N/A | $67,540.52 |
 |
| CSX Corporation | 126408103 | CSX | $67,418.92 |
 |
| Sciquest Incorporated Common Stock | 80908T101 | SQI | $67,152.05 |
 |
| Validus Holdings Limited | G9319H102 | VR | $67,056.72 |
 |
| Ford Motor Credit CO LLC Fixed | 345397VU4 | N/A | $67,052.01 |
 |
| Time Warner Incorporated Company Guar | 887317AQ8 | N/A | $66,215.31 |
 |
| BorgWarner Incorporated | 099724106 | BWA | $65,933.21 |
 |
| Bank of America Corp Senior Notes | 06051GER6 | N/A | $65,726.00 |
 |
| Kinder Morgan Incorporated | 49456B101 | KMI | $65,526.15 |
 |
| Cenovus Energy Incorporated Common Stock | 15135U109 | CVE | $65,496.68 |
 |
| Aflac Incorporated | 001055102 | AFL | $65,245.58 |
 |
| Chicago Bridge & Iron Company | 167250109 | CBI | $65,015.34 |
 |
| Volkswagen AG | 549710903 | VOW | $64,642.68 |
 |
| Tencent Holdings Ltd Common Stock | B01CT3905 | N/A | $64,642.15 |
 |
| Industrial and Commercial Bank of China Limited | B1G1QD902 | N/A | $64,449.82 |
 |
| Sandstorm Gold Ltd Common Stock | 80013R982 | SSL | $64,432.42 |
 |
| Johnson Controls Incorporated | 478366107 | JCI | $64,353.63 |
 |
| Infoblox Incorporated Common Stock | 45672H104 | BLOX | $64,144.11 |
 |
| Federal National Mortgage Association | 31418ARE0 | N/A | $63,995.24 |
 |
| Marathon Oil Corporation | 565849106 | MRO | $63,990.89 |
 |
| Vitamin Shoppe Incorporated | 92849E101 | VSI | $63,843.71 |
 |
| China Resources Land Limited Hkd0.10 | 619376908 | N/A | $63,749.49 |
 |
| American Electric Power Company | 025537101 | AEP | $63,331.25 |
 |
| Sps Commerce Incorporated Common Stock Usd.001 | 78463M107 | SPSC | $63,225.46 |
 |
| Under Armour Incoroporated | 904311107 | UA | $63,118.75 |
 |
| Sharp Corp Jpy50 | 680060001 | N/A | $63,117.44 |
 |
| Ford Credit Floorplan Master O Fordf 2012 4 A2 | 34528QBU7 | N/A | $62,900.77 |
 |
| Advisory Board Company | 00762W107 | ABCO | $62,884.06 |
 |
| Federal National Mortgage Association | 3138NXRT6 | N/A | $62,845.94 |
 |
| Marubeni Corp Npv | 656946001 | N/A | $62,837.78 |
 |
| General Dynamics Corporation | 369550108 | GD | $62,817.03 |
 |
| Sabra Healthcare Reit Incorporated | 78573L106 | SBRA | $62,800.25 |
 |
| Newpark Resources Incorporated | 651718504 | NR | $62,770.01 |
 |
| DSW Incorporated | 23334L102 | DSW | $62,757.55 |
 |
| WI Treasury N/b | 912828MA5 | N/A | $62,646.78 |
 |
| JDS Uniphase Corporation | 46612J507 | JDSU | $62,612.04 |
 |
| Ellie Mae Incorporated | 28849P100 | ELLI | $62,321.32 |
 |
| American Express Issuance Trus Aeitt 2013 1 A | 02587TAA1 | N/A | $62,207.64 |
 |
| Hj Heinz Company | 423074103 | HNZ | $62,139.03 |
 |
| Marketaxess Holdings Incorporated | 57060D108 | MKTX | $62,117.33 |
 |
| Wex Incorporated Common Stock Usd.01 | 96208T104 | WXS | $62,053.25 |
 |
| Cynosure Incorporated | 232577205 | CYNO | $62,042.84 |
 |
| Ahold (kon )nv Eur 0.30 | 525260907 | AH | $61,546.60 |
 |
| Arctic Cat Inc | 039670104 | ACAT | $61,401.74 |
 |
| Hanesbrands Incorporated | 410345102 | HBI | $61,267.00 |
 |
| Chubb Corporation | 171232101 | CB | $61,254.02 |
 |
| Hcp Incorporated | 40414L109 | HCP | $60,616.17 |
 |
| Kkr + CO LP Mlp | 48248M102 | KKR | $60,252.15 |
 |
| Royal Dutch Shell A Shs | B03MLX903 | RDSA | $59,812.39 |
 |
| Monster Beverage Corp | 611740101 | MNST | $59,634.67 |
 |
| Archer-daniels-midland Company | 039483102 | ADM | $59,567.65 |
 |
| LKQ Corporation | 501889208 | LKQ | $59,552.54 |
 |
| Envestnet Incorporated Common Stock | 29404K106 | ENV | $59,414.83 |
 |
| U.S. Treasury Bond - Inflation Protected | 912828KM1 | N/A | $59,160.12 |
 |
| Sumitomo Corporation | 685894008 | N/A | $59,036.26 |
 |
| Centurytel Incorporated | 156700106 | CTL | $58,953.15 |
 |
| Matrix Service Company | 576853105 | MTRX | $58,944.07 |
 |
| Western Alliance Bancorp | 957638109 | WAL | $58,936.07 |
 |
| Public Storage Inc. | 74460D109 | PSA | $58,917.80 |
 |
| BB&T Corporation | 054937107 | BBT | $58,905.69 |
 |
| SS&C Technologies Holdings | 78467J100 | SSNC | $58,843.66 |
 |
| Cia Saneamento Basico De Sp Common Stock Npv | B1YCHL900 | N/A | $58,658.84 |
 |
| Metso Oyj Fim50 | 571342906 | N/A | $58,630.47 |
 |
| Johnson Matthey PLC Common Stock Gbp1.047619 | B70FPS903 | JMAT | $58,272.11 |
 |
| Chase Issuance Trust Chait 2008 A13 A13 | 161571DD3 | N/A | $58,264.26 |
 |
| Gentex Corporation | 371901109 | GNTX | $58,229.44 |
 |
| Adobe Systems Incorporated | 00724F101 | ADBE | $58,194.75 |
 |
| American Express Credit Accoun Amxca 2012 4 A | 02587AAE4 | N/A | $57,809.24 |
 |
| Market Vectors Junior Gold Miner | 57060U589 | GDXJ | $57,645.69 |
 |
| Ventas Incorporated | 92276F100 | VTR | $57,304.88 |
 |
| Employers Holdings Incorporated | 292218104 | EIG | $57,195.78 |
 |
| Nippon Telegraph & Telephone Corporation | 664137007 | N/A | $57,057.44 |
 |
| Key Energy Services Incorporated | 492914106 | KEG | $56,981.28 |
 |
| Actuant Corporation Cl A | 00508X203 | ATU | $56,601.85 |
 |
| Agco Corporation | 001084102 | AGCO | $56,564.42 |
 |
| Lukoil ADR | 677862104 | LUKOY | $56,529.76 |
 |
| City National Corporation | 178566105 | CYN | $56,170.87 |
 |
| Dell Incorporated | 24702R101 | DELL | $56,118.10 |
 |
| Allya_11-1 | 02005TAD9 | N/A | $56,101.86 |
 |
| Franklin Resources Incorporated | 354613101 | BEN | $55,864.06 |
 |
| Marsh & Mclennan Cos Incorporated | 571748102 | MMC | $55,833.44 |
 |
| Honda Auto Receivables Owner T Harot 2013 1 A2 | 43814CAB5 | N/A | $55,798.70 |
 |
| Newmont Mining Corporation | 651639106 | NEM | $55,796.97 |
 |
| Cavco Industries Incorporated | 149568107 | CVCO | $55,662.42 |
 |
| Mrc Global Incorporated Common Stock Usd.01 | 55345K103 | MRC | $55,586.67 |
 |
| Cmnwlth Bk of Aust Npv | 621503002 | CBA | $55,382.33 |
 |
| Ally Auto Receivables Trust Allya 2012 4 A2 | 02006EAB5 | N/A | $55,296.33 |
 |
| Sysco Corporation | 871829107 | SYY | $55,263.67 |
 |
| Vr Qtr Slm Student Loan Trust | 78444AAC1 | N/A | $55,134.62 |
 |
| Spectra Energy Corporation | 847560109 | SE | $55,091.45 |
 |
| Sandvine Corporation | 800213100 | SNVNF | $55,089.23 |
 |
| Baker Hughes Incorporated | 057224107 | BHI | $54,982.45 |
 |
| Jazz Pharmaceuticals PLC Common Stock Usd.0001 | G50871105 | JAZZ | $54,865.37 |
 |
| Federal National Mortgage Association | 3138EJXU7 | N/A | $54,854.74 |
 |
| Sainsbury(j) Ord Gbp0.28571428 (post Rec | B019KW907 | SBRY | $54,491.27 |
 |
| Ryder Systems Incorporated | 783549108 | R | $54,416.57 |
 |
| Federal National Mortgage Association | 31418ASF6 | N/A | $54,309.10 |
 |
| BHP Billiton Limited | 614469005 | BHP | $54,031.32 |
 |
| Wellpoint Incorporated | 94973V107 | WLP | $53,995.18 |
 |
| Santander Drive Auto Receivabl Sdart 2013 2 A3 | 80283DAC5 | N/A | $53,974.92 |
 |
| Vivendi SA | 483477907 | VIV | $53,752.77 |
 |
| Federal National Mortgage Association | 3138EKQN8 | N/A | $53,591.14 |
 |
| Federal National Mortgage Association | 921YNXII7 | N/A | $53,477.87 |
 |
| Fed Hm Ln Pc Pool G04466 | 3128M6JK5 | N/A | $53,373.00 |
 |
| Royal Gold Inccommon Stock | 780287108 | RGLD | $53,367.51 |
 |
| Corning Incorporated | 219350105 | GLW | $52,629.95 |
 |
| PG&E Corporation | 69331C108 | PCG | $52,376.22 |
 |
| Federal National Mortgage Association | 31419AEF0 | N/A | $52,146.24 |
 |
| T. Rowe Price Group Incorporated | 74144T108 | TROW | $51,999.97 |
 |
| Fresh Market Inc/the | 35804H106 | TFM | $51,868.36 |
 |
| Ruby Tuesday Incorporated | 781182100 | RT | $51,765.75 |
 |
| Student Loan Marketing Association Securities | 78446TAA2 | N/A | $51,734.64 |
 |
| Prudential PLC Ord Gbp0.05 | 070995006 | PRU | $51,683.57 |
 |
| Old Mutual PLC Common Stock Gbp.142857 | B77J08909 | OML | $51,647.66 |
 |
| Abm Industries Incorporated | 000957100 | ABM | $51,624.91 |
 |
| Csmc_06-c5 | 22545LAD1 | N/A | $51,576.54 |
 |
| Slm Student Loan Trust Slma 2012 A A1 144a | 78446VAA7 | N/A | $51,432.53 |
 |
| Imperva Incorporated Common Stock Usd.0001 | 45321L100 | IMPV | $51,396.00 |
 |
| Federal National Mortgage Association | 921VRRII2 | N/A | $51,388.38 |
 |
| Aon PLC Common Stock Usd.01 | G0408V102 | AON | $51,382.28 |
 |
| Sanmina Corporation | 801056102 | SANM | $51,358.40 |
 |
| Brit Amer Tobacco Ord Gbp0.25 | 028758902 | BATS | $51,338.10 |
 |
| PPG Industries Incorporated | 693506107 | PPG | $51,304.25 |
 |
| Cme Incorporated Class A | 12572Q105 | CME | $50,519.88 |
 |
| LVMH Eur0.30 | 406141903 | MC | $50,304.41 |
 |
| Sprint Nextel Corporation | 852061100 | S | $50,135.58 |
 |
| Aruba Networks Incorporated | 043176106 | ARUN | $50,035.97 |
 |
| Rolls Royce Holdings PLC Common Stock Gbp.2 | B63H84900 | N/A | $49,928.27 |
 |
| Yokohama Rubber CO Npv | 698646007 | N/A | $49,826.59 |
 |
| Prologis Incorporated Reit Usd.01 | 74340W103 | PLD | $49,615.72 |
 |
| Oasis Petroleum Incorporated Common Stock Usd.001 | 674215108 | OAS | $49,426.70 |
 |
| Jp Morgan Chase Comml Mtge Sec | 46625YCV3 | N/A | $49,391.23 |
 |
| Nelnet Student Loan Trust Nslt 2005 1 A5 | 64031QBR1 | N/A | $49,275.81 |
 |
| Chuo Mitsui Trust Holdings Incorporated Npv | 643189905 | N/A | $49,251.53 |
 |
| Slovak Republic Sr Unsecured 144a | 831588AB4 | N/A | $49,146.76 |
 |
| Koninklijke Dsm Nv Eur1.5 | B0HZL9902 | DSM | $49,137.56 |
 |
| Intuit Incorporated | 461202103 | INTU | $49,045.49 |
 |
| Meggitt Ord Gbp0.05 | 057580003 | MGGT | $49,002.33 |
 |
| Coherent Inc. | 192479103 | COHR | $48,892.75 |
 |
| Gsamp Trust 2005-sea1a | 36242DL35 | N/A | $48,743.82 |
 |
| Air Products & Chemicals Incorporated | 009158106 | APD | $48,503.06 |
 |
| Sempra Energy | 816851109 | SRE | $48,500.52 |
 |
| Scor S.e. Eur7.876972 (post Cons) | B1LB9P906 | SCR | $48,332.39 |
 |
| Honda Auto Receivables Owner T Harot 2010 3 A4 | 43813BAD4 | N/A | $48,318.52 |
 |
| Acadia Healthcare CO Incorporated Common Stock | 00404A109 | ACHC | $48,305.24 |
 |
| Kulicke & Soffa Industries Incorporated | 501242101 | KLIC | $48,216.68 |
 |
| Federal National Mortgage Association | 31417FKQ0 | N/A | $48,178.50 |
 |
| Amtrust Financial Services | 032359309 | AFSI | $48,165.53 |
 |
| Photronics Incorporated | 719405102 | PLAB | $48,072.22 |
 |
| BNP Paribas Eur2 | 730968906 | BNP | $47,961.46 |
 |
| Intl Steel Group | 460377AB0 | N/A | $47,939.51 |
 |
| Consolidated Edison Incorporated | 209115104 | ED | $47,929.44 |
 |
| Paccar Incorporated | 693718108 | PCAR | $47,922.15 |
 |
| Hollyfrontier Corp Common Stock Usd.01 | 436106108 | HFC | $47,905.85 |
 |
| Slm Student Loan Trust Slma 2012 B A1 144a | 78446XAA3 | N/A | $47,899.42 |
 |
| Teva Pharma Ind Ils0.1 (post Cons) | 688217900 | TEVA | $47,895.27 |
 |
| Post Holdings Incorporated | 737446104 | POST | $47,756.73 |
 |
| Jp Morgan Chase Bank National Series Bknt | 48121CYK6 | N/A | $47,559.57 |
 |
| Health Care Reit Incorporated | 42217K106 | HCN | $47,498.79 |
 |
| The Corporate Executive Board | 21988R102 | CEB | $47,465.80 |
 |
| Motorola Solutions Inc. | 620076307 | MSI | $47,384.72 |
 |
| Federal National Mortgage Association | 31417EEQ0 | N/A | $47,361.19 |
 |
| Firstenergy Corporation | 337932107 | FE | $47,325.19 |
 |
| Equity Residential | 29476L107 | EQR | $47,295.89 |
 |
| CNO Financial Group Incorporated | 12621E103 | CNO | $47,174.76 |
 |
| Allya_10-5 | 02005RAC5 | N/A | $47,158.51 |
 |
| OraSure Technologies Incorporated | 68554V108 | OSUR | $46,929.44 |
 |
| Federal National Mortgage Association | 3138M5WB1 | N/A | $46,918.91 |
 |
| Burlington Northern Santa Fe LLC | 12189LAL5 | N/A | $46,866.00 |
 |
| Home Bancshares Incorporated | 436893200 | HOMB | $46,831.66 |
 |
| Lbubs_07-c7 | 52109RBM2 | N/A | $46,830.76 |
 |
| Federal Home Loan Mortgage Company | 31398LXT0 | N/A | $46,722.33 |
 |
| Myr Group Incorporated | 55405W104 | MYRG | $46,706.89 |
 |
| U.S. Treasury N/b | 912810QX9 | N/A | $46,703.70 |
 |
| Bbva (bilb Viz Arg) Eur0.49 | 550190904 | BBVA | $46,677.51 |
 |
| Public Service Enterprise | 744573106 | PEG | $46,589.80 |
 |
| Magna Intl Incorporated Cl A Sub Vtg | 559222955 | MG | $46,584.66 |
 |
| Greenhill & Company Incorporated | 395259104 | GHL | $46,404.50 |
 |
| Helix Energy Solutions Grp | 42330P107 | HLX | $46,347.00 |
 |
| WM Morrison Supermarkets plc | 060431004 | MRW | $46,342.11 |
 |
| Impact Funding LLC 01/51 Var | 45257HAA5 | N/A | $46,133.05 |
 |
| Gazprom Neft Sponsored ADR ADR | B11XHC900 | GAZ | $46,114.85 |
 |
| Waste Management Incorporated | 94106L109 | WM | $45,977.28 |
 |
| Fed Hm Ln Pc Pool G06940 | 3128M9BH4 | N/A | $45,904.24 |
 |
| Amxca 2010 1 A Var | 02587AAA2 | N/A | $45,474.35 |
 |
| Lend Lease Group Npv | 651200008 | LLC | $45,293.31 |
 |
| Vopak (kon) Eur1 | 580942902 | VPK | $45,157.46 |
 |
| Aspen Technology Incorporated | 045327103 | AZPN | $45,121.91 |
 |
| Gulfport Energy Corporation | 402635304 | GPOR | $45,112.81 |
 |
| Repsol Ypf SA Eur1 | 566935904 | REP | $45,043.90 |
 |
| Commonwealth Bank Aust Covered 144a 0.75 | 20271AAC1 | N/A | $44,954.12 |
 |
| Slm Student Loan Trust Slma 2004 5a A5 144a | 78442GLX2 | N/A | $44,853.22 |
 |
| Spectranetics Corp | 84760C107 | SPNC | $44,806.89 |
 |
| Evercore Partners Incorporated-Cl A | 29977A105 | EVR | $44,722.75 |
 |
| Northrop Grumman Corporation | 666807102 | NOC | $44,605.12 |
 |
| Slm Student Loan Trust Slma 2012 E A2b 144a | 78447FAC7 | N/A | $44,588.36 |
 |
| Liberty Global Inc- A | 530555101 | LBTYA | $44,528.54 |
 |
| Costar Group Inccommon Sto | 22160N109 | CSGP | $44,418.11 |
 |
| Bendigo And Adelaide Bank Ltd Npv | 609128905 | BEN | $44,409.46 |
 |
| Fleetmatics Group PLC Common Stock | G35569105 | FLTX | $44,380.30 |
 |
| Macy's Incorporated | 55616P104 | M | $44,347.25 |
 |
| Goldman Sachs Capital Ii | 381427AA1 | N/A | $44,341.18 |
 |
| Stadshypotek Ab | 85235XAC9 | N/A | $44,229.34 |
 |
| Mosaic Co/the Common Stock Usd.01 | 61945C103 | MOS | $44,228.21 |
 |
| Metro Incorporated Cl A Sub Vtg | 59162N950 | MRU | $44,181.53 |
 |
| Edison International Common | 281020107 | EIX | $43,962.53 |
 |
| Cousins Properties Increit | 222795106 | CUZ | $43,790.12 |
 |
| Westjet Airls Ltd Var Vtg Shs | 960410959 | N/A | $43,781.98 |
 |
| Petrobras Intl Fin CO Company Guar | 71645WAU5 | N/A | $43,760.12 |
 |
| Pros Holdings Incorporated | 74346Y103 | PRO | $43,723.67 |
 |
| Abbvie Incorporated Company Guar 144a | 00287YAA7 | N/A | $43,540.57 |
 |
| Lazard Group | 52107QAE5 | N/A | $43,487.98 |
 |
| Magnum Hunter Resources Corporation | 55973B102 | MHR | $43,475.68 |
 |
| Ace Ina Holdings Company Guar | 00440EAP2 | N/A | $43,434.41 |
 |
| Applied Materials Incorporated | 038222105 | AMAT | $43,377.33 |
 |
| Lexmark International Incorporated | 529771107 | LXK | $43,375.62 |
 |
| Enel SPA | 714456902 | ENEL | $43,321.23 |
 |
| American Express Credit Sr Unsecured 1.75 | 0258M0DE6 | N/A | $43,262.09 |
 |
| Nokia Corporation | 654902204 | NOK | $43,161.30 |
 |
| Fed Hm Ln Pc Pool U90691 | 3132H3XU2 | N/A | $43,159.55 |
 |
| Ashford Hospitality Trust | 044103109 | AHT | $43,147.74 |
 |
| Kellogg Company | 487836108 | K | $43,141.60 |
 |
| Swedbank Hypotek Ab Covered 144a | 87020LAF3 | N/A | $42,949.08 |
 |
| National Cinemedia Incorporated | 635309107 | NCMI | $42,926.40 |
 |
| UBS Barclays Commercial Mortga Ubsbb 2012 C4 Aab | 90270RBF0 | N/A | $42,746.57 |
 |
| Pacwest Bancorp | 695263103 | PACW | $42,735.92 |
 |
| Align Technologycommon Sto | 016255101 | ALGN | $42,733.35 |
 |
| PTC Incorporated | 69370C100 | PMTC | $42,446.62 |
 |
| Intermec Incorporated | 458786100 | IN | $42,398.47 |
 |
| Opentable Incorporated Common Stock | 68372A104 | OPEN | $42,372.45 |
 |
| Cincinnati Bell Incorporated | 171871106 | CBB | $42,357.88 |
 |
| Icon PLC Common Stock Eur.06 | G4705A100 | ICLR | $42,218.70 |
 |
| Cadence Design Systems Incorporated | 127387108 | CDNS | $42,071.66 |
 |
| Mead Johnson Nutrition Corporation | 582839106 | MJN | $42,060.48 |
 |
| American Axle & Mfg | 024061103 | AXL | $42,049.73 |
 |
| Boliden Ab (post Split) Npv (post Split) | B1XCBX901 | BOL | $41,996.00 |
 |
| Sberbank Cls Common Stock | B56C9L901 | SBER | $41,863.02 |
 |
| Middleby Corporation | 596278101 | MIDD | $41,745.95 |
 |
| Tsuruha Holdings I Npv | B0MKZN903 | N/A | $41,724.59 |
 |
| Selective Insurance Groupc | 816300107 | SIGI | $41,674.48 |
 |
| Government National Mortgage Association | 36203WNP9 | N/A | $41,658.97 |
 |
| Suntrust Banks Incorporated | 867914103 | STI | $41,635.08 |
 |
| Baloise Hldgs Chf0.1 Regd | 712459908 | BALN | $41,592.29 |
 |
| Lifepoint Hospitals Inccom | 53219L109 | LPNT | $41,568.84 |
 |
| Biomarin Pharmaceutical | 09061G101 | BMRN | $41,446.83 |
 |
| Capital Auto Receivables Asset Afin 2013 1 A3 | 13975EAC7 | N/A | $41,435.66 |
 |
| Federal National Mortgage Association | 31417EQV6 | N/A | $41,377.98 |
 |
| NTT Docomo Npv | 612927905 | N/A | $41,280.08 |
 |
| Alere Incorporated | 01449J105 | ALR | $41,209.48 |
 |
| Deutsche Bank AG Ord Npv (regd) | 575035902 | DBK | $41,201.07 |
 |
| Hercules Offshore Incorporated | 427093109 | HERO | $41,168.61 |
 |
| Boston Properties Incorporated | 101121101 | BXP | $41,093.01 |
 |
| Aeropostale Incorporated | 007865108 | ARO | $41,077.68 |
 |
| Semtech Corpcommon Stock | 816850101 | SMTC | $41,068.58 |
 |
| Lorillard Incorporated | 544147101 | LO | $41,045.99 |
 |
| Crexus Investment Corp | 226553105 | CXS | $41,022.00 |
 |
| Steel Dynamics Incorporated | 858119100 | STLD | $40,990.01 |
 |
| Svenska Handelsbanken Ab Sr Unsecured | 86960BAC6 | N/A | $40,944.87 |
 |
| Campus Crest Communities Incorporated Reit | 13466Y105 | CCG | $40,908.87 |
 |
| Fed Hm Ln Pc Pool U99034 | 3132H7BC7 | N/A | $40,870.11 |
 |
| At+t Incorporated Sr Unsecured 0.8 | 00206RBL5 | N/A | $40,844.39 |
 |
| Province of Quebec Unsecured | 748149AG6 | N/A | $40,689.80 |
 |
| Ingersand-Rand PLC | G47791101 | IR | $40,653.79 |
 |
| Slm Student Ln Tr 2008 Student Loan Bkd Nt Cl A | 78445JAA5 | N/A | $40,640.30 |
 |
| Daimler Finance Na LLC Company Guar 144a | 233851AQ7 | N/A | $40,616.50 |
 |
| Sunstone Hotel | 867892101 | SHO | $40,584.21 |
 |
| Vodafone Group PLC Sr Unsecured | 92857WBE9 | N/A | $40,468.37 |
 |
| Mattel Incorporated | 577081102 | MAT | $40,453.25 |
 |
| Berry Plastics Group Incorporated Common Stock | 08579W103 | BERY | $40,441.20 |
 |
| Vodafone Group PLC Sr Unsecured 0.9 | 92857WBA7 | N/A | $40,391.35 |
 |
| Firstmerit Corp | 337915102 | FMER | $40,345.25 |
 |
| Fed Hm Ln Pc Pool U59003 | 3132FTAD0 | N/A | $40,328.36 |
 |
| Bancorpsouth Incorporated | 059692103 | BXS | $40,070.83 |
 |
| Tyco International Limited | H89128104 | TYC | $39,988.21 |
 |
| Daimler Finance Na LLC Fixed Ser 144a | 233851AG9 | N/A | $39,874.09 |
 |
| Federal Home Loan Mortgage Company | 31398CC63 | N/A | $39,872.98 |
 |
| Hub Group Incorporated-Cl A | 443320106 | HUBG | $39,787.67 |
 |
| Smith (A.O.) Corporation | 831865209 | AOS | $39,772.29 |
 |
| Aust + Nz Bank Grp Npv | 606558005 | ANZ | $39,769.66 |
 |
| FTI Consulting Incorporated | 302941109 | FCN | $39,755.30 |
 |
| Federal National Mortgage Association | 3138EKRW7 | N/A | $39,752.43 |
 |
| ConAgra Foods Incorporated | 205887102 | CAG | $39,740.49 |
 |
| BroadSoft Incorporated | 11133B409 | BSFT | $39,683.43 |
 |
| Tyler Technologies Incorporated | 902252105 | TYL | $39,677.38 |
 |
| Bob Evans Farmscommon Stoc | 096761101 | BOBE | $39,560.51 |
 |
| JX Holdings Incorporated | B627LW906 | N/A | $39,524.50 |
 |
| Mfa Mortgage Investments Incorporated | 55272X102 | MFA | $39,489.32 |
 |
| PNM Resources Incorporated | 69349H107 | PNM | $39,443.67 |
 |
| Dana Holding Corporation | 235825205 | DAN | $39,433.93 |
 |
| Bangchak Petroleum Pub For Common Stock Thb1. A | 607959905 | N/A | $39,202.14 |
 |
| Briggs & Stratton Corporation | 109043109 | BGG | $39,080.00 |
 |
| Bankunited Incorporated Common Stock Usd.01 | 06652K103 | BKU | $39,062.04 |
 |
| Autonavi Holdings Ltd ADR ADR Usd.0001 | 05330F106 | AMAP | $39,061.98 |
 |
| Ion Geophysical Corporation | 462044108 | IO | $38,978.50 |
 |
| Hornbeck Offshore Services Incorporated | 440543106 | HOS | $38,957.45 |
 |
| Sun Hung Kai Props Hkd0.50 | 685992000 | N/A | $38,939.58 |
 |
| Xcel Energy Incorporated | 98389B100 | XEL | $38,887.07 |
 |
| Mexico (united Mexican States) (go | 91086QAZ1 | N/A | $38,875.77 |
 |
| Sherwin-Williams Company | 824348106 | SHW | $38,868.33 |
 |
| Fed Hm Ln Pc Pool U91181 | 3132HBFW0 | N/A | $38,841.72 |
 |
| Capital Senior Living Corp | 140475104 | CSU | $38,772.93 |
 |
| Webster Financial Corp | 947890109 | WBS | $38,742.58 |
 |
| Ucb Npv | 559699905 | UCB | $38,726.70 |
 |
| Autozone Incorporated | 053332102 | AZO | $38,655.94 |
 |
| AvalonBay Communities Incorporated | 053484101 | AVB | $38,647.91 |
 |
| Vantiv Incorporated Common Stock | 92210H105 | VNTV | $38,628.26 |
 |
| United Fire Group Incorporated Common Stock Usd3.333 | 910340108 | UFCS | $38,603.81 |
 |
| Wintrust Financial Corporation | 97650W108 | WTFC | $38,479.79 |
 |
| Magnachip Semiconduct Common Stock Usd.01 | 55933J203 | MX | $38,410.84 |
 |
| Treasury Bill 0.00000 | 912796AB5 | N/A | $38,404.41 |
 |
| Thales Eur3 | 416279008 | HO | $38,398.93 |
 |
| U.S. Airways Group Incorporated | 90341W108 | LCC | $38,386.03 |
 |
| Reynolds American Incorporated | 761713106 | RAI | $38,385.20 |
 |
| Goldcorp Incorporated | 380956409 | GG | $38,356.87 |
 |
| Entegris Incorporated | 29362U104 | ENTG | $38,353.33 |
 |
| Simon Property Group LP Sr Unsecured 144a | 828807CM7 | N/A | $38,303.06 |
 |
| Axa Eur2.29 | 708842901 | CS | $38,298.93 |
 |
| Lions Gate Entertainment Corp | 535919203 | LGF | $38,229.27 |
 |
| Kraton Performance Polymers Common Stock | 50077C106 | KRA | $38,207.78 |
 |
| Cinemark Holdings Incorporated | 17243V102 | CNK | $38,161.05 |
 |
| Cabot Oil And Gas Corporation | 127097103 | COG | $38,150.02 |
 |
| Analog Devices Incorporated | 032654105 | ADI | $38,144.62 |
 |
| Hong Kong Land Hld Usd 0.10(sing Quote) | 643491905 | HKL | $38,114.72 |
 |
| Slm Student Loan Trust Slma 2013 A A1 144a | 78447RAA5 | N/A | $38,098.27 |
 |
| Suncoke Energy Incorporated Common Stock | 86722A103 | SXC | $38,036.39 |
 |
| Vornado Realty Trust | 929042109 | VNO | $37,990.27 |
 |
| ING Groep Nv Cva Eur0.24 | 715418901 | INGA | $37,958.98 |
 |
| Xstrata Finance Canada Company Guar 144a | 98417EAS9 | N/A | $37,943.46 |
 |
| Bk Hapoalim Bm Ils1 | 607580909 | POLI | $37,942.67 |
 |
| Samsung Electronics Company Limited | 677172009 | N/A | $37,831.43 |
 |
| Associated Banc-corp | 045487105 | ASBC | $37,829.15 |
 |
| Slm Student Loan Trust Slma 2012 C A1 144a | 78447BAA0 | N/A | $37,824.07 |
 |
| Chemring Group PLC Common Stock Gbp.05 | B45C9X909 | CHG | $37,822.09 |
 |
| Hannover Rueckvers Ord Npv(regd) | 451180905 | N/A | $37,797.72 |
 |
| G-iii Apparel Group Limited | 36237H101 | GIII | $37,735.06 |
 |
| Portland General Electric Company | 736508847 | POR | $37,719.22 |
 |
| British Land CO Ord Gbp0.25 | 013670005 | BLND | $37,686.77 |
 |
| Health Insurance Innovatio A Common Stock Usd.001 | 42225K106 | HIIQ | $37,669.82 |
 |
| Coach Incorporated | 189754104 | COH | $37,638.88 |
 |
| Cytec Industries | 232820100 | CYT | $37,625.89 |
 |
| Marks + Spencer Gp Ord Gbp0.25 | 312748908 | MKS | $37,548.35 |
 |
| Zumiez Incorporated | 989817101 | ZUMZ | $37,487.36 |
 |
| Sino Land CO Hkd1.00 | 681042008 | N/A | $37,475.94 |
 |
| Primerica Incorporated Common Stock | 74164M108 | PRI | $37,468.55 |
 |
| Calgon Carbon Corporation | 129603106 | CCC | $37,431.12 |
 |
| First Niagara Financial Group | 33582V108 | FNFG | $37,426.78 |
 |
| Telefonica SA Eur 1 | 573252905 | TEF | $37,418.46 |
 |
| Ensco PLC Cl A Common Stock Usd.1 | G3157S106 | ESV | $37,399.08 |
 |
| AAR Corp | 000361105 | AIR | $37,369.48 |
 |
| General Elec Cap Corporation Sr Unsecured | 36962G6S8 | N/A | $37,301.32 |
 |
| Fastenal Company | 311900104 | FAST | $37,168.79 |
 |
| Pebblebrook Hotel Trust Common Stock | 70509V100 | PEB | $36,991.68 |
 |
| Wh Smith PLC Gbp0.2209 | B2PDGW903 | SMWH | $36,950.01 |
 |
| Nxstage Medical Incorporated | 67072V103 | NXTM | $36,932.74 |
 |
| Xtep International Holdings Common Stock Hkd.01 | B2RJYH901 | N/A | $36,821.84 |
 |
| Federal National Mortgage Association | 3138EKW50 | N/A | $36,817.36 |
 |
| Jetblue Airwayscommon Stoc | 477143101 | JBLU | $36,801.23 |
 |
| ValueClick Incorporated | 92046N102 | VCLK | $36,790.61 |
 |
| Medidata Solutions Incorporated | 58471A105 | MDSO | $36,667.32 |
 |
| Guidewire Software Incorporated Common Stock Usd.0001 | 40171V100 | GWRE | $36,663.60 |
 |
| Northeast Utilities | 664397106 | NU | $36,631.95 |
 |
| Parker Hannifin Corporation | 701094104 | PH | $36,629.08 |
 |
| Lasalle Hotel Properties | 517942108 | LHO | $36,627.00 |
 |
| Loews Corporation | 540424108 | L | $36,585.54 |
 |
| Iridium Communications Incorporated | 46269C102 | IRDM | $36,468.02 |
 |
| United O Seas Bank Sgd1 | 691678007 | UOB | $36,462.14 |
 |
| Graphic Packaging Holding CO | 388689101 | GPK | $36,344.00 |
 |
| Horsehead Holding Corp | 440694305 | ZINC | $36,341.72 |
 |
| Motel 6 Trust Motel 2012 Mtl6 A2 144a | 61974PAC2 | N/A | $36,339.06 |
 |
| Shionogi + CO Npv | 680468006 | N/A | $36,279.89 |
 |
| Chase Issuance Trust Chait 2012 A1 A1 | 161571FA7 | N/A | $36,261.45 |
 |
| Patrick Industries Incorporated | 703343103 | PATK | $36,260.89 |
 |
| Royal Bk Scotlnd Grp PLC Sr Unsecured 2.55 | 780099CC9 | N/A | $36,236.64 |
 |
| Discovery Laboratories Incorporated Common Stock Usd.001 | 254668403 | DSCO | $35,989.67 |
 |
| Lpl Financial Holdings Incorporated Common Stock | 50212V100 | LPLA | $35,894.70 |
 |
| Bodycote PLC Ord Gbp0.1727272 | B3FLWH909 | BOY | $35,880.58 |
 |
| Natl Australia Bk Npv | 662460005 | NAB | $35,855.27 |
 |
| Rosetta Resources Incorporated | 777779307 | ROSE | $35,845.13 |
 |
| Ally Master Owner Trust Amot 2012 1 A1 | 02005ACB2 | N/A | $35,821.16 |
 |
| Mwi Veterinary Supply Incorporated | 55402X105 | MWIV | $35,813.48 |
 |
| Synnex Corporation | 87162W100 | SNX | $35,801.76 |
 |
| Saab Ab Ser B Sek16 | 546955907 | SAABB | $35,778.64 |
 |
| Metcash Limited Npv | B0744W900 | MTS | $35,775.06 |
 |
| Sandisk Corporation | 80004C101 | SNDK | $35,668.15 |
 |
| Vocera Communications Incorporated | 92857F107 | VCRA | $35,662.71 |
 |
| Uss Jpy50 | 617149901 | N/A | $35,642.50 |
 |
| Inchcape PLC Common Stock Gbp.1 | B61TVQ901 | INCH | $35,506.83 |
 |
| Guangdong Invest Ord Hkd0.50 | 691316004 | N/A | $35,481.32 |
 |
| Government National Mortgage Association | 36203CJK9 | N/A | $35,393.09 |
 |
| Skandinaviska Enskilda Sr Unsecured 144a 1.75 | 830505AP8 | N/A | $35,321.00 |
 |
| Washington Federal Inc | 938824109 | WAFD | $35,315.23 |
 |
| Fed Hm Ln Pc Pool U90565 | 3132H3TW3 | N/A | $35,242.51 |
 |
| The Hershey Company | 427866108 | HSY | $35,239.15 |
 |
| Federal Home Loan Mortgage Company | 02R022449 | N/A | $35,148.90 |
 |
| Southwestern Energy Company | 845467109 | SWN | $35,072.78 |
 |
| Medassets Incorporated | 584045108 | MDAS | $35,042.36 |
 |
| Statoilhydro Asa Nok2.50 | 713360907 | STL | $35,033.82 |
 |
| Kyorin CO Ltd Npv | B0YZFP904 | N/A | $34,964.42 |
 |
| Benchmark Electronics Incorporated | 08160H101 | BHE | $34,884.18 |
 |
| Insulet Corporation | 45784P101 | PODD | $34,812.41 |
 |
| Woori Finance Krw5000 | 653426908 | N/A | $34,733.05 |
 |
| CapitalSource Incorporated | 14055X102 | CSE | $34,676.69 |
 |
| FMC Technologies Incorporated | 30249U101 | FTI | $34,671.80 |
 |
| Spirit Airlines Incorporated Common Stock | 848577102 | SAVE | $34,440.52 |
 |
| Banner Corporation | 06652V208 | BANR | $34,434.79 |
 |
| Bacm_07-1 | 059497AX5 | N/A | $34,400.10 |
 |
| Rent-A-Center Incorporated | 76009N100 | RCII | $34,280.51 |
 |
| Omnivision Technologies, Inc. | 682128103 | OVTI | $34,242.61 |
 |
| Invesco Limited | G491BT108 | IVZ | $34,241.17 |
 |
| Fleetcor Technologies Incorporated Common Stock Usd.001 | 339041105 | FLT | $34,163.34 |
 |
| Zimmer Holdings Incorporated | 98956P102 | ZMH | $34,158.88 |
 |
| Delhaize Group Npv | 426211009 | DELB | $34,098.63 |
 |
| Host Marriott Corp. | 44107P104 | HST | $34,081.69 |
 |
| Titan International Incorporated | 88830M102 | TWI | $34,039.72 |
 |
| M&T Bank Corporation | 55261F104 | MTB | $33,828.21 |
 |
| Huntington Ingalls Industrie Common Stock | 446413106 | HII | $33,776.05 |
 |
| Zep Incorporated | 98944B108 | ZEP | $33,769.57 |
 |
| Roper Industries Incorporated | 776696106 | ROP | $33,760.18 |
 |
| Quad Graphics Incorporated Common Stock | 747301109 | QUAD | $33,721.03 |
 |
| Umpqua Holdings Corporation | 904214103 | UMPQ | $33,706.32 |
 |
| Sanchez Energy Corp Common Stock Usd.01 | 79970Y105 | SN | $33,577.64 |
 |
| United States Steel Corporation | 912909108 | X | $33,460.06 |
 |
| Kerr-mcgee Corp | 492386AU1 | N/A | $33,406.10 |
 |
| Sonic Automotive | 83545G102 | SAH | $33,371.01 |
 |
| America Movil Sab De Cv Sr Unsecured | 02364WBD6 | N/A | $33,271.40 |
 |
| Grifola SA Eur0.5 | B01SPF907 | GRF | $33,229.97 |
 |
| Amgen Incorporated Sr Unsecured 05/43 | 031162BP4 | N/A | $33,141.77 |
 |
| Rex Energy Corporation | 761565100 | REXX | $33,118.70 |
 |
| Starwood Hotels & Resorts Worldwide Incorporation | 85590A401 | HOT | $33,104.85 |
 |
| Netapp Incorportated | 64110D104 | NTAP | $33,013.28 |
 |
| Goldman Sachs Group Incorporated Sr Unsecured | 38141GRC0 | N/A | $32,923.92 |
 |
| Schweitzer Manduit Intl Inc. | 808541106 | SWM | $32,865.72 |
 |
| Novo Nordisk As Dkk2 Ser B | 707752903 | NOVOB | $32,635.16 |
 |
| Pepsico Incorporated Sr Unsecured | 713448CB2 | N/A | $32,536.67 |
 |
| Cosan, Ltd. | G25343107 | CZZ | $32,406.08 |
 |
| Kar Auction Services Incorporated | 48238T109 | KAR | $32,402.91 |
 |
| Helmerich & Payne Incorporated | 423452101 | HP | $32,399.90 |
 |
| Genuine Parts Company | 372460105 | GPC | $32,392.17 |
 |
| Capstead Mortgage Corporation | 14067E506 | CMO | $32,386.13 |
 |
| Biostime International Holdi Common Stock Hkd.01 | B4ZB3G901 | N/A | $32,380.21 |
 |
| Rockwell Automation Incorporated | 773903109 | ROK | $32,371.04 |
 |
| Anheuser Busch Inbev Wor Company Guar | 03523TBN7 | N/A | $32,346.93 |
 |
| Chart Industries Incorporated | 16115Q308 | GTLS | $32,341.93 |
 |
| Cirrus Logic Incorporated | 172755100 | CRUS | $32,326.17 |
 |
| Harley-davidson Incorporated | 412822108 | HOG | $32,314.80 |
 |
| Microsemi Corporation | 595137100 | MSCC | $32,258.71 |
 |
| Oceaneering International | 675232102 | OII | $32,228.12 |
 |
| CF Industries Holdings, Inc | 125269100 | CF | $32,160.58 |
 |
| Indl Bank of Korea Krw5000 | 646297903 | N/A | $32,138.71 |
 |
| Methanex Corp Common Stock Npv | 59151K108 | MEOH | $32,106.84 |
 |
| Associated Estates Realty Cp | 045604105 | AEC | $32,099.77 |
 |
| Great Lakes Dredge & Dock Company | 390607109 | GLDD | $32,045.43 |
 |
| Downer Group Npv | 646557900 | DOW | $32,012.63 |
 |
| Amphenol Corp | 032095101 | APH | $31,967.70 |
 |
| Core-mark Holding CO Incorporated | 218681104 | CORE | $31,948.28 |
 |
| Bottomline Technologies Incorporated | 101388106 | EPAY | $31,858.63 |
 |
| Ford Credit Auto Owner Trust Fordo 2012 B A2 | 34529WAB6 | N/A | $31,805.22 |
 |
| Silver Std Res Incorporated Com | 82823L106 | SSRI | $31,755.83 |
 |
| Esterline Technologies Corporation | 297425100 | ESL | $31,669.42 |
 |
| DTE Energy Company | 233331107 | DTE | $31,619.30 |
 |
| Actavis Incorporated Common Stock Usd.0033 | 00507K103 | ACT | $31,573.00 |
 |
| Federal National Mortgage Association | 3138EKWT8 | N/A | $31,570.46 |
 |
| Brunswick Corporation | 117043109 | BC | $31,561.26 |
 |
| Cerus Corp | 157085101 | CERS | $31,551.00 |
 |
| Suncor Energy Incorporated New Common Stock | 867224958 | SU | $31,445.52 |
 |
| Seagate Technology PLC Common Stock | G7945M107 | STX | $31,311.38 |
 |
| Hcp Incorporated Sr Unsecured 3.75 | 40414LAF6 | N/A | $31,273.00 |
 |
| Rwe AG (neu) Npv | 476896907 | RWE | $31,163.68 |
 |
| Fidelity National Information Services Incorporated | 31620M106 | FIS | $31,149.34 |
 |
| Ally Master Owner Trust Amot 2011 3 A2 | 02005ABN7 | N/A | $31,109.93 |
 |
| Clorox Company | 189054109 | CLX | $31,089.79 |
 |
| Citigroup Incorporated Sr Unsecured 4.45 | 172967FW6 | N/A | $31,033.61 |
 |
| Pacific Premier Bancorp Inc | 69478X105 | PPBI | $31,023.48 |
 |
| Rio Tinto PLC | 071887004 | RIO | $30,978.61 |
 |
| Murphy Oil Corporation | 626717102 | MUR | $30,953.92 |
 |
| Celgene Corp Sr Unsecured | 151020AH7 | N/A | $30,947.95 |
 |
| KBC Group Nv Npv | 449774009 | KBC | $30,776.47 |
 |
| Morgan Stanley Baml Trust Msbam 2012 C6 A3 | 61761DAC6 | N/A | $30,741.69 |
 |
| Mylan Incorporated | 628530107 | MYL | $30,695.56 |
 |
| St. Jude Medical Incorporated | 790849103 | STJ | $30,674.55 |
 |
| CS First Boston Mortgage Securities Corporation Series 2005-c2 Class A4 | 225458RT7 | N/A | $30,649.96 |
 |
| Thoratec Corporation | 885175307 | THOR | $30,647.07 |
 |
| Lufkin Industries Inc | 549764108 | LUFK | $30,547.92 |
 |
| Rhi AG Npv | 471991000 | RHI | $30,525.07 |
 |
| Sensata Technologies Holdings | N7902X106 | ST | $30,485.88 |
 |
| Adt Corp/the Common Stock Usd.01 | 00101J106 | ADT | $30,475.86 |
 |
| Paychex Incorporated | 704326107 | PAYX | $30,441.50 |
 |
| Federal National Mortgage Association | 31418NBK5 | N/A | $30,435.31 |
 |
| Credit Agricole SA Eur3 | 726261902 | ACA | $30,434.75 |
 |
| Altera Corporation | 021441100 | ALTR | $30,412.19 |
 |
| Ethan Allen Interiors Inc | 297602104 | ETH | $30,395.97 |
 |
| BHP Billiton PLC | 005665906 | BLT | $30,298.72 |
 |
| Basic Energy Services | 06985P100 | BAS | $30,081.58 |
 |
| Soc Generale Eur1.25 | 596651901 | GLE | $30,040.63 |
 |
| Con-Way Incorporated | 205944101 | CNW | $30,003.79 |
 |
| Fukuoka Financial Npv | B1TK1Y907 | N/A | $29,972.00 |
 |
| Swedbank Ab Sr Unsecured 144a 1.75 | 87020PAC1 | N/A | $29,892.83 |
 |
| Life Technologies Corporation | 53217V109 | LIFE | $29,818.38 |
 |
| Tata Motors Ltd | 876568502 | TTM | $29,801.52 |
 |
| Earthlink Inc | 270321102 | ELNK | $29,800.47 |
 |
| Swift Transportation CO Common Stock Usd.001 | 87074U101 | SWFT | $29,791.99 |
 |
| New Jersey State Tpk Auth Revenue | 646139X83 | N/A | $29,738.96 |
 |
| Intercontinental Hotels Grou Common Stock Gbp.458967 | B85KYF903 | IHG | $29,735.57 |
 |
| Student Loan Marketing Association Securities | 78445XAA4 | N/A | $29,728.18 |
 |
| Republic of Slovenia Sr Unsecured 144a | 831594AB2 | N/A | $29,724.02 |
 |
| Lvmh Moet Hennessy Louis Vuitn | 502441AA6 | N/A | $29,619.95 |
 |
| Alnylam Pharmeceuticals Incorporated | 02043Q107 | ALNY | $29,582.82 |
 |
| Morgan Stanley Sr Unsecured 1.75 | 61746BDG8 | N/A | $29,431.56 |
 |
| Maeda Road Const Npv | 655472009 | N/A | $29,410.49 |
 |
| Vocus | 92858J108 | VOCS | $29,407.33 |
 |
| Encore Capital Group | 292554102 | ECPG | $29,367.01 |
 |
| Stewart Enterprises Fixed | 860370AM7 | N/A | $29,356.45 |
 |
| Humana Incorporated | 444859102 | HUM | $29,346.85 |
 |
| Ziggo Nv Common Stock | B7QNZW908 | ZIGGO | $29,345.63 |
 |
| Steiner Leisure Limited | P8744Y102 | STNR | $29,331.05 |
 |
| Bk Rakyat Idr500 | 670909902 | BBRI | $29,305.46 |
 |
| Western Digital Corporation | 958102105 | WDC | $29,203.18 |
 |
| Pentair Ltd Registered Common Stock Usd.16 | H6169Q108 | PNR | $29,158.08 |
 |
| Federal National Mortgage Association | 3138AKCX5 | N/A | $29,046.56 |
 |
| Brown-forman Corporation Cl B | 115637209 | N/A | $29,018.40 |
 |
| E.ON AG | 494290901 | EOAN | $28,977.21 |
 |
| Ford Credit Floorplan Master O Fordf 2013 1 A2 | 34528QCE2 | N/A | $28,966.79 |
 |
| Federal National Mortgage Association | 3138AN4E0 | N/A | $28,958.64 |
 |
| Fluor Corporation | 343412102 | FLR | $28,904.09 |
 |
| Dcp Midstream Operating LP | 23311VAC1 | N/A | $28,884.07 |
 |
| Heartware International Incorporated | 422368100 | HTWR | $28,861.27 |
 |
| Eastman Chemical Company | 277432100 | EMN | $28,844.17 |
 |
| Approach Resources Incorporated | 03834A103 | AREX | $28,840.06 |
 |
| Omv AG Npv(var) | 465145001 | OMV | $28,679.84 |
 |
| Bg Group Ord Gbp0.10 | 087628905 | N/A | $28,629.82 |
 |
| JM Smucker Company | 832696405 | SJM | $28,519.37 |
 |
| Chesapeake Energy Corporation | 165167107 | CHK | $28,497.73 |
 |
| Netflix.com Incorporated | 64110L106 | NFLX | $28,439.79 |
 |
| Dominion Resources Incorporated | 25746UBG3 | N/A | $28,399.64 |
 |
| Nelnet Student Loan Trust Nslt 2007 1 A3 | 64032EAC1 | N/A | $28,370.84 |
 |
| Realpage Incorporated Common Stock | 75606N109 | RP | $28,367.25 |
 |
| Berkshire Hathaway Incorporated Sr Unsecured 1.55 | 084670BH0 | N/A | $28,334.46 |
 |
| Dnb Nor Asa Nok10 | 426330007 | DNB | $28,293.01 |
 |
| Lb-ubs Commercial Mortgage Trust Series 2005-c3 Class Am | 52108H4V3 | N/A | $28,286.03 |
 |
| American Tower Corporation | 029912BD3 | N/A | $28,246.00 |
 |
| Xerox Corporation | 984121103 | XRX | $28,222.77 |
 |
| Gap Incorporated | 364760108 | GPS | $28,215.51 |
 |
| Perrigo Company | 714290103 | PRGO | $28,127.05 |
 |
| Gentiva Health Services Incorp | 37247A102 | GTIV | $27,968.05 |
 |
| Beacon Roofing Supply Incorporated | 073685109 | BECN | $27,929.70 |
 |
| Federal National Mortgage Association | 3138ANKP7 | N/A | $27,907.78 |
 |
| Yara International Nok1.70 | 775125909 | YAR | $27,829.82 |
 |
| Challenger Fin Ser Npv | 672630902 | CGF | $27,762.59 |
 |
| Kodiak Oil & Gas Corporation | 50015Q100 | KOG | $27,731.98 |
 |
| Moody's Corporation | 615369105 | MCO | $27,705.52 |
 |
| Federal Natl Mtg Assn Preassign 00163 2002 95 Cl Db | 31392HGU1 | N/A | $27,653.64 |
 |
| Ralph Lauren Corp Common Stock Usd.01 | 751212101 | RL | $27,593.59 |
 |
| Express Scripts Holding Company Guar | 30219GAB4 | N/A | $27,556.00 |
 |
| McDermott International Incorporated | 580037109 | MDR | $27,534.52 |
 |
| Tumi Holdings Incorporated Common Stock Usd.01 | 89969Q104 | TUMI | $27,479.92 |
 |
| Centerpoint Energy Inc. | 15189T107 | CNP | $27,477.27 |
 |
| Del Frisco S Restaurant Grou Common Stock Usd.001 | 245077102 | DFRG | $27,462.60 |
 |
| EQT Corporation | 26884L109 | EQT | $27,350.75 |
 |
| Isle of Capri Casinos Inco | 464592104 | ISLE | $27,341.55 |
 |
| Beam Incorporated Common Stock Usd3.125 | 073730103 | BEAM | $27,316.41 |
 |
| Ariad Pharmaceuticals Incorporated | 04033A100 | ARIA | $27,241.94 |
 |
| Thor Industries Inc | 885160101 | THO | $27,240.57 |
 |
| Kadant Incorporated | 48282T104 | KAI | $27,171.60 |
 |
| Facebook Incorporated A Common Stock Usd.000006 | 30303M102 | FB | $27,119.86 |
 |
| Aviva PLC Ord Gbp0.25 | 021623004 | N/A | $27,099.70 |
 |
| Copart Incorporated | 217204106 | CPRT | $27,062.23 |
 |
| Perficient Incorporated | 71375U101 | PRFT | $27,006.95 |
 |
| Atlas Air Worldwide Holdings Incorporated | 049164205 | AAWW | $26,993.80 |
 |
| Cfcre Commercial Mortgage Trus Cfcre 2011 C1 A4 144a | 12527EAD0 | N/A | $26,964.70 |
 |
| Lazard LLC | 52107QAC9 | N/A | $26,916.39 |
 |
| Msc Industrial Direct Company | 553530106 | MSM | $26,910.43 |
 |
| Davita Incorporated | 23918K108 | DVA | $26,838.67 |
 |
| Allscripts Inc | 01988P108 | MDRX | $26,792.15 |
 |
| Unilever PLC Ord Gbp0.031111 | B10RZP905 | ULVR | $26,760.20 |
 |
| Virgin Media Incorporated | 92769L101 | VMED | $26,745.46 |
 |
| PMC-Sierra Incorporated | 69344F106 | PMCS | $26,740.54 |
 |
| Willbros Grp Incorporated | 969203108 | WG | $26,716.11 |
 |
| Diamondback Energy Incorporated Common Stock | 25278X109 | FANG | $26,711.75 |
 |
| Scientific Games Corporation | 80874P109 | SGMS | $26,706.36 |
 |
| General Elec Cap Corp Unsecured | 36962G5Z3 | N/A | $26,674.21 |
 |
| China Communications Servi H Common Stock Cny1.0 | B1HVJ1909 | N/A | $26,666.51 |
 |
| Statoil Asa Company Guar | 85771PAH5 | N/A | $26,613.46 |
 |
| GEO Group Incorporated | 36159R103 | GEO | $26,597.21 |
 |
| Assurant Incorporated Sr Unsecured | 04621XAE8 | N/A | $26,516.56 |
 |
| Rue21 Incorporated Common Stock | 781295100 | RUE | $26,515.71 |
 |
| Wisconsin Energy Corporation | 976657106 | WEC | $26,337.46 |
 |
| Republic Services Incorporated | 760759100 | RSG | $26,310.70 |
 |
| ONEOK Incorporated | 682680103 | OKE | $26,196.27 |
 |
| Bank of America Corporation | 060505DH4 | N/A | $26,169.45 |
 |
| Mccormick & Company Inc | 579780206 | MKC | $26,168.11 |
 |
| Amlin Ord Gbp0.28125 | B2988H904 | AML | $26,155.95 |
 |
| Nigerian Breweries PLC Common Stock Ngn.5 | 663728905 | NB | $26,149.95 |
 |
| North Texas Tollway Build America Bonds | 66285WFB7 | N/A | $26,021.01 |
 |
| Teradata Corporation | 88076W103 | TDC | $26,013.26 |
 |
| Dcp Midstream Operating LP | 23311VAB3 | N/A | $25,851.42 |
 |
| Chicos Fas Incorporated | 168615102 | CHS | $25,846.31 |
 |
| Myer Holdings Ltd Common Stock | B50YPZ900 | MYR | $25,836.81 |
 |
| Bco Do Brasil SA Com Npv | 232859900 | N/A | $25,826.58 |
 |
| Kghm Polska Miedz Pln10 Br | 526325907 | KGH | $25,763.73 |
 |
| Cia Saneamento Minas Gerais Common Stock Npv | B0YBZJ909 | N/A | $25,759.64 |
 |
| Banc Amer Coml Mtg Tr 2006 6 Mtg Pasthru Cl A4 | 05950VAE0 | N/A | $25,710.17 |
 |
| Goldman Sachs Group Incorporated | 38141GFM1 | N/A | $25,686.07 |
 |
| C.H. Robinson Worldwide Incorporated | 12541W209 | CHRW | $25,678.39 |
 |
| Dr Pepper Snapple Group Incorporated | 26138E109 | DPS | $25,636.16 |
 |
| Juniper Networks Incorporated | 48203R104 | JNPR | $25,631.81 |
 |
| Sega Sammy Holdings Incorporated Npv | B02RK0906 | N/A | $25,558.39 |
 |
| Atea Asa Common Stock Nok10.0 | B12TR1901 | ATEA | $25,550.78 |
 |
| Aozora Bank Ltd Jpy50 | B1G185909 | N/A | $25,511.83 |
 |
| Tietoenator Oyj Ord Npv | 547970905 | N/A | $25,483.17 |
 |
| Adeka Corporation Npv | 605490002 | N/A | $25,473.24 |
 |
| HSBC Usa Incorporated Sr Unsecured | 40428HPG1 | N/A | $25,366.28 |
 |
| Natus Medical Incorporated | 639050103 | BABY | $25,352.99 |
 |
| Merrill Lynch Mortgage Trust Mlmt 2007 C1 A4 | 59025KAE2 | N/A | $25,331.82 |
 |
| Prestige Brands Holdings, Inc. | 74112D101 | PBH | $25,313.92 |
 |
| Black Box Corporation | 091826107 | BBOX | $25,276.89 |
 |
| Discover Card Master Trust I Dcent 2013 A1 A1 | 254683BB0 | N/A | $25,188.14 |
 |
| NYSE Euronext Incorporated | 629491101 | NYX | $25,177.81 |
 |
| Principal Financial Group Inc | 74251V102 | PFG | $25,166.81 |
 |
| Edwards Lifesciences Corp | 28176E108 | EW | $25,138.28 |
 |
| Sodastream International Ltd Common Stock | M9068E105 | SODA | $25,137.22 |
 |
| Sigma-aldrich Corporation | 826552101 | SIAL | $25,088.56 |
 |
| Bonanza Creek Energy Incorporated | 097793103 | BCEI | $24,993.16 |
 |
| Allya 2010 4 A4 Fixed 1.35 | 02005PAD7 | N/A | $24,950.22 |
 |
| Integrated Silicon Solutions Incorporated | 45812P107 | ISSI | $24,914.44 |
 |
| Commercial Mortgage Pass Throu Comm 2012 Cr2 Asb | 12624KAC0 | N/A | $24,873.18 |
 |
| Alexander + Baldwin Incorporated Common Stock | 014491104 | ALEX | $24,859.66 |
 |
| Ameren Illinois CO Sr Secured | 02361DAL4 | N/A | $24,852.95 |
 |
| Autodesk Incorporated | 052769106 | ADSK | $24,848.46 |
 |
| Federal National Mortgage Association | 31397NWV3 | N/A | $24,701.47 |
 |
| American Electric Power Sr Unsecured 1.65 | 025537AF8 | N/A | $24,532.93 |
 |
| Cez Czk100 | 562403907 | CEZ | $24,517.20 |
 |
| Stericycle Incorporated | 858912108 | SRCL | $24,511.29 |
 |
| Federal National Mortgage Association | 3136A3U25 | N/A | $24,509.00 |
 |
| Kimco Realty Corporation | 49446R109 | KIM | $24,499.70 |
 |
| Laredo Petroleum Holdings In Common Stock Usd.01 | 516806106 | LPI | $24,474.54 |
 |
| Qlogic Corporation | 747277101 | QLGC | $24,473.77 |
 |
| Alcoa Incorporated | 013817101 | AA | $24,430.13 |
 |
| Proto Labs Incorporated | 743713109 | PRLB | $24,409.76 |
 |
| Los Angeles Calif Community College District | 54438CPA4 | N/A | $24,353.72 |
 |
| Signature Bank | 82669G104 | SBNY | $24,353.34 |
 |
| Ddr 2009 Ddr1 A Fixed | 23317FAA4 | N/A | $24,292.90 |
 |
| Health Care Property Investors Incorporated | 421915EH8 | N/A | $24,248.66 |
 |
| Cal Dive International Incorporated | 12802T101 | DVR | $24,205.88 |
 |
| Infinera Corporation | 45667G103 | INFN | $24,183.26 |
 |
| Sterling Construction CO | 859241101 | STRL | $24,143.80 |
 |
| China Railway Cons H Cny1 | B2PFVH904 | N/A | $24,138.88 |
 |
| Westfield Group Npv Stapled Units | B01BTX901 | WDC | $24,124.68 |
 |
| Wisconsin Elec Pwr CO Fixed 2.95 | 976656CD8 | N/A | $24,108.72 |
 |
| Companhia Vale do Rio Doce | 225712900 | N/A | $23,988.83 |
 |
| Aurubis AG Common Stock | 548552900 | NDA | $23,981.17 |
 |
| Xl Group PLC Common Stock Usd.01 | G98290102 | XL | $23,965.30 |
 |
| Forest Laboratories Incorporated | 345838106 | FRX | $23,902.69 |
 |
| Morgan Stanley Fixed 5.50 | 61747WAL3 | N/A | $23,862.78 |
 |
| Exone Co/the Common Stock Usd.01 | 302104104 | XONE | $23,794.18 |
 |
| Energen Corp Fixed | 29265NAS7 | N/A | $23,788.30 |
 |
| United Natural Foods Incorporated | 911163103 | UNFI | $23,723.58 |
 |
| Exxaro Resources Ltd Zar0.01 | 641880901 | EXX | $23,647.93 |
 |
| Wyndham Worldwide Corporation | 98310W108 | WYN | $23,624.60 |
 |
| Telenet Grp Hldg Npv | B0LKSK908 | TNET | $23,572.51 |
 |
| Riverbed Technology Incorporated | 768573107 | RVBD | $23,552.29 |
 |
| Chiba Bank Jpy50 | 619056005 | N/A | $23,542.15 |
 |
| Brocade Communications Systems Incorporated | 111621306 | BRCD | $23,495.46 |
 |
| Tyson Foods Incorporated Company Guar | 902494AT0 | N/A | $23,480.87 |
 |
| Americredit Automobile Receiva Amcar 2012 4 A2 | 03063XAC9 | N/A | $23,451.99 |
 |
| Ally Master Owner Trust Amot 2012 3 A1 | 02005ACM8 | N/A | $23,426.79 |
 |
| Tangoe Inc/ct Common Stock Usd.0001 | 87582Y108 | TNGO | $23,367.21 |
 |
| Hilltop Holdings Incorporated | 432748101 | HTH | $23,364.92 |
 |
| Kingdom of Spain Notes 144a 4. | 84633PAB9 | N/A | $23,357.36 |
 |
| Bank of America Corporation Sr Unsecured | 06051GEU9 | N/A | $23,267.62 |
 |
| Ventas Realty Lp/cap Crp Company Guar | 92276MBB0 | N/A | $23,255.91 |
 |
| Pacific Drilling SA Common Stock | L7257P106 | PACD | $23,135.14 |
 |
| Rockwell Collins Incorporated | 774341101 | COL | $23,115.65 |
 |
| Voestalpine AG Npv | 494340904 | VOE | $23,090.62 |
 |
| Nichirei Corp Jpy50 | 664086006 | N/A | $23,049.30 |
 |
| Turlock Corporation | 900212AE1 | N/A | $22,988.76 |
 |
| Mitsui + CO Npv | 659730006 | N/A | $22,881.21 |
 |
| Clark County Nevada Arpt Rev Bond | 18085PMT8 | N/A | $22,878.31 |
 |
| Ameren Corporation | 023608102 | AEE | $22,785.13 |
 |
| Plum Creek Timber Company | 729251108 | PCL | $22,721.91 |
 |
| Air Transport Services Group 1 | 00922R105 | ATSG | $22,657.64 |
 |
| Citigroup Commercial Mortgage Cgcmt 2005 C3 A4 | 173067GT0 | N/A | $22,656.87 |
 |
| Mitsubishi Corporation | 659678007 | N/A | $22,651.81 |
 |
| Laboratory Corporation of America Holdings | 50540R409 | LH | $22,518.41 |
 |
| Kraft Foods Group Incorporated Sr Unsecured 02/40 | 50076QAN6 | N/A | $22,512.26 |
 |
| Grafttech International Limited | 384313102 | GTI | $22,468.12 |
 |
| CA Incorporated | 12673P105 | CA | $22,463.28 |
 |
| PVH Corporation | 693656100 | PVH | $22,371.05 |
 |
| Port Auth of New York + New Je Portrn 10/62 Fixed | 73358WJA3 | N/A | $22,347.45 |
 |
| Castle (a M) & CO | 148411101 | CAS | $22,346.63 |
 |
| Jp Morgan Chase Commercial Mor Jpmcc 2013 C10 Asb | 46639JAF7 | N/A | $22,321.81 |
 |
| Phi Incorporated | 69336T205 | PHIIK | $22,315.49 |
 |
| Zillow Incorporated Common Stock | 98954A107 | Z | $22,233.32 |
 |
| Tiffany & Company | 886547108 | TIF | $22,221.33 |
 |
| Inter-american Development Bank | 4581X0BT4 | N/A | $22,218.94 |
 |
| Nihon Kohden Corp Jpy50 | 663997005 | N/A | $22,163.72 |
 |
| First Tennessee Natl Corp | 320517105 | FHN | $22,150.94 |
 |
| Pnc Bank National Association | 69349LAG3 | N/A | $22,071.55 |
 |
| Cobham Ord Gbp0.025 | B07KD3908 | COB | $21,931.38 |
 |
| Bco Est R Gde Sul Prf Class B Npv | B23F8S900 | N/A | $21,890.05 |
 |
| Campbell Soup Company | 134429109 | CPB | $21,798.80 |
 |
| Artio Global Investos Incorporated Common Stock | 04315B107 | ART | $21,776.48 |
 |
| California State Build America Bonds | 13063BJC7 | N/A | $21,761.68 |
 |
| Jpmorgan Chase & Co. Comml. Mtge. Securities Corp. | 46630VAD4 | N/A | $21,756.26 |
 |
| Regeneron Pharmaceutical | 75886F107 | REGN | $21,746.38 |
 |
| Tf1 Tv Francaise Eur0.20 | 599711900 | TFI | $21,737.12 |
 |
| Textron Incorporated | 883203101 | TXT | $21,706.12 |
 |
| Takeda Pharmaceutical CO Ltd Npv | 687044008 | N/A | $21,664.83 |
 |
| Waters Corporation | 941848103 | WAT | $21,628.31 |
 |
| Softbank Corporation Npv | 677062903 | N/A | $21,622.68 |
 |
| Yue Yuen Indl Hldg Hkd0.25 | 658653902 | N/A | $21,606.52 |
 |
| Tesoro Petroleum Corporation | 881609101 | TSO | $21,576.06 |
 |
| Leucadia National Corporation | 527288104 | LUK | $21,574.81 |
 |
| Federal National Mortgage Association | 31418MXL1 | N/A | $21,571.23 |
 |
| Woolworths Ltd Npv | 698123908 | WOW | $21,496.40 |
 |
| Nvidia Corporation | 67066G104 | NVDA | $21,480.31 |
 |
| Standard Chartered PLC Subordinated 144a 3.95 | 853254AJ9 | N/A | $21,437.60 |
 |
| Pt Japfa Comfeed Indones Tbk Common Stock Idr1000.0 | 647239003 | JPFA | $21,421.78 |
 |
| Coal India Ltd Common Stock Inr10. | ACI00AD24 | COAL | $21,419.87 |
 |
| H & R Block Incorporated | 093671105 | HRB | $21,402.26 |
 |
| Federal National Mortgage Association | 31418ASC3 | N/A | $21,348.42 |
 |
| Americredit Automobile Receiva Amcar 2012 4 A3 | 03063XAD7 | N/A | $21,343.36 |
 |
| Multi-fineline Exect | 62541B101 | MFLX | $21,326.69 |
 |
| Concur Technologies Incorporated | 206708109 | CNQR | $21,317.50 |
 |
| Murphy Oil Corporation Sr Unsecured | 626717AF9 | N/A | $21,295.89 |
 |
| Stratasys Ltd Common Stock | M85548101 | SSYS | $21,192.04 |
 |
| Fed Hm Ln Pc Pool U80250 | 3132G7H32 | N/A | $21,188.81 |
 |
| Aceto Corp | 004446100 | ACET | $21,149.75 |
 |
| Accelrys Incorporated | 00430U103 | ACCL | $21,145.65 |
 |
| Federal Home Loan Mortgage Company | 3128M74U7 | N/A | $21,124.88 |
 |
| Maximus Incorporated | 577933104 | MMS | $21,109.96 |
 |
| Wesfarmers Npv | 694883000 | WES | $21,069.72 |
 |
| Varian Medical Systems Incorporated | 92220P105 | VAR | $21,066.26 |
 |
| FMC Corporation | 302491303 | FMC | $21,053.60 |
 |
| Eldorado Gold Corporation | 284902103 | EGO | $20,976.00 |
 |
| Canadian Oil Sands Trust Sr Unsecured 144a 04/42 6. | 13643EAH8 | N/A | $20,927.29 |
 |
| National Grid Ord Gbp0.11395 | B08SNH908 | N/A | $20,774.26 |
 |
| Capital Bank Financial Cl A Common Stock | 139794101 | CBF | $20,753.27 |
 |
| Erac Usa Finance LLC Company Guar 144a 03/42 | 26884TAE2 | N/A | $20,710.79 |
 |
| UBS Barclays Commercial Mortga Ubsbb 2012 C3 A3 | 90349DAC6 | N/A | $20,679.85 |
 |
| Tata Steel Ltd Gdr Reg S Gdr | B3PPWV908 | TTST | $20,599.32 |
 |
| Sankyu Incorporated Jpy50 | 677538001 | N/A | $20,587.74 |
 |
| CONSOL Energy Incorporated | 20854P109 | CNX | $20,584.88 |
 |
| Chase Issuance Trust Chait 2012 A10 A10 | 161571FT6 | N/A | $20,560.70 |
 |
| Cr Bard Incorporated | 067383109 | BCR | $20,556.92 |
 |
| Total Capital Canada Ltd Company Guar 1.45 | 89153UAE1 | N/A | $20,516.31 |
 |
| Molson Coors Brewing Company | 60871R209 | TAP | $20,476.95 |
 |
| Transocean Incorporated Company Guar | 893830BB4 | N/A | $20,436.76 |
 |
| American Express Credit Account Master Trust Series 2009-2 Class A | 02582JFV7 | N/A | $20,402.49 |
 |
| Pall Corporation | 696429307 | PLL | $20,366.52 |
 |
| Gaslog Ltd Common Stock Usd.01 | G37585109 | GLOG | $20,364.08 |
 |
| Mbna Credit Card Master Note T Mbnas 2003 A10 A10 | 55264TCF6 | N/A | $20,357.34 |
 |
| Abbvie Incorporated Company Guar 144a 2. | 00287YAF6 | N/A | $20,341.20 |
 |
| Ameren Corporation | 023608AE2 | N/A | $20,337.34 |
 |
| H Lundbeck A S Dkk5 | 708525902 | LUN | $20,334.38 |
 |
| At+t Incorporated Sr Unsecured 144a 12/42 | 00206RBG6 | N/A | $20,271.65 |
 |
| Fed Hm Ln Pc Pool U90442 | 3132H3P31 | N/A | $20,268.67 |
 |
| Computer Sciences Corporation | 205363104 | CSC | $20,261.42 |
 |
| Fed Hm Ln Pc Pool G07144 | 3128M9HV7 | N/A | $20,221.74 |
 |
| Jpmcc 2010 Cntr A2 08/32 Fixed | 46636AAC6 | N/A | $20,216.39 |
 |
| Rpx Corp Common Stock | 74972G103 | RPXC | $20,205.35 |
 |
| Federal National Mortgage Association | 3138AGPL6 | N/A | $20,199.48 |
 |
| Pace PLC Common Stock Gbp.05 | 066727900 | PIC | $20,194.50 |
 |
| Banco Santander SA Sr Unsecured 144a | 05969BAA1 | N/A | $20,191.44 |
 |
| Toyota Auto Receivables Owner Taot 2012 A A2 | 89236PAB9 | N/A | $20,182.95 |
 |
| Cd 2005-cd1 A4 | 12513EAG9 | N/A | $20,168.17 |
 |
| El Paso Pipeline Part Op Fixed | 28370TAB5 | N/A | $20,164.88 |
 |
| Toshiba Tec Npv | 689488005 | N/A | $20,135.67 |
 |
| Saizeriya Company Jpy50 | 611177908 | N/A | $20,125.67 |
 |
| Chase Issuance Trust Chait 2012 A8 A8 | 161571FR0 | N/A | $20,106.03 |
 |
| Boston Properties LP 3.85 | 10112RAU8 | N/A | $20,090.14 |
 |
| Canon Incorporated | 617232004 | N/A | $19,994.65 |
 |
| Bancorp Inc/the | 05969A105 | TBBK | $19,942.04 |
 |
| .0e05arj Fg 3.0 .0e05arj Fg 3.0 | 921ACKII9 | N/A | $19,914.58 |
 |
| Pernod Ricard SA Sr Unsecured 144a | 714264AH1 | N/A | $19,882.89 |
 |
| Shenguan Holdings Group Ltd Common Stock Hkd.01 | B4NC3T904 | N/A | $19,872.24 |
 |
| Mohawk Industries Incorporated Sr Unsecured 3.85 | 608190AJ3 | N/A | $19,871.44 |
 |
| Federal National Mortgage Association | 31374CLS3 | N/A | $19,853.15 |
 |
| CMS Energy Corporation | 125896100 | CMS | $19,842.30 |
 |
| Marstons PLC Ord Gbp0.07375 | B1JQDM908 | MARS | $19,821.16 |
 |
| Frontline 2012 Ltd Common Stock | B6VK11905 | FRNT | $19,792.87 |
 |
| Danone Eur0.25 | B1Y9TB906 | BN | $19,790.83 |
 |
| Expeditors International of Washington Incorporated | 302130109 | EXPD | $19,773.61 |
 |
| Healthcare Services Group Inc | 421906108 | HCSG | $19,679.80 |
 |
| Hutch Whampoa Int 11 Ltd Company Guar 144a | 44841CAB0 | N/A | $19,669.54 |
 |
| Jacobs Engineering Group Incorporated | 469814107 | JEC | $19,657.81 |
 |
| Exelixis Incorporated | 30161Q104 | EXEL | $19,608.00 |
 |
| L-3 Communications Holdings In | 502424104 | LLL | $19,506.77 |
 |
| Federal National Mortgage Association | 3138MSDD8 | N/A | $19,496.20 |
 |
| Constellation Brands Inc. | 21036P108 | STZ | $19,471.64 |
 |
| Powertech Technolo Twd10 | 659967905 | N/A | $19,381.05 |
 |
| Federal Home Loan Mortgage Company | 31398E2H6 | N/A | $19,374.62 |
 |
| Annie's Incorporated | 03600T104 | BNNY | $19,374.50 |
 |
| Masco Corporation | 574599106 | MAS | $19,361.80 |
 |
| Verisign Incorporated | 92343E102 | VRSN | $19,341.93 |
 |
| Ddr Corp | 23317HAA0 | N/A | $19,280.67 |
 |
| Goldcorp Incorporated Sr Unsecured | 380956AD4 | N/A | $19,279.33 |
 |
| Syngenta AG Chf0.10 | 435664909 | SYNN | $19,241.01 |
 |
| Santarus Incorporated | 802817304 | SNTS | $19,209.64 |
 |
| Asseco Poland SA Pln1 | 597895903 | ACP | $19,125.20 |
 |
| Invensense Incorporated Common Stock | 46123D205 | INVN | $19,081.50 |
 |
| Ibm Corporation Sr Unsecured | 459200HK0 | N/A | $19,068.42 |
 |
| Nps Pharmaceuticals Inccom | 62936P103 | NPSP | $19,056.60 |
 |
| Corinthian Colleges Incorporated | 218868107 | COCO | $19,034.59 |
 |
| Government National Mortgage Association | 36203EMH8 | N/A | $19,025.94 |
 |
| Enteromedics Incorporated Common Stock | 29365M208 | ETRM | $19,019.93 |
 |
| Infinity Pharmaceuticals Incorporated | 45665G303 | INFI | $18,938.06 |
 |
| Loreal Eur0.2 | 405780909 | OR | $18,913.66 |
 |
| Ericsson(lm)tel Ser B Npv | 595937905 | ERICB | $18,805.87 |
 |
| F5 Networks Incorporated | 315616102 | FFIV | $18,772.50 |
 |
| Miraca Holdings Incorporated Jpy50 | 635661002 | N/A | $18,707.75 |
 |
| Slm Student Loan Trust Series 2005-6 Class A5b | 78442GPZ3 | N/A | $18,624.27 |
 |
| Air Liquide(l) Eur 5.5(post Subdivision) | B1YXBJ905 | AI | $18,619.41 |
 |
| Equifax Incorporated | 294429105 | EFX | $18,600.91 |
 |
| Cincinnati Financial Corporation | 172062101 | CINF | $18,588.87 |
 |
| Ford Motor Credit CO LLC Sr Unsecured 2.75 | 345397WC3 | N/A | $18,580.77 |
 |
| Aegon Nv Eur0.12 | 592737902 | AGN | $18,571.22 |
 |
| Fed Hm Ln Pc Pool U89019 | 3132H1AV9 | N/A | $18,569.26 |
 |
| George Fischer AG Chf50(regd) | 434178000 | N/A | $18,508.47 |
 |
| Discovery Communications Company Guar 04/43 | 25470DAJ8 | N/A | $18,397.91 |
 |
| Hitachi Cap Corp Npv | 642915003 | N/A | $18,377.93 |
 |
| Lennar Corporation Class A | 526057104 | LEN | $18,364.06 |
 |
| Fed Hm Ln Pc Pool G07110 | 3128M9GT3 | N/A | $18,319.44 |
 |
| Fluidigm Corp Common Stock | 34385P108 | FLDM | $18,284.78 |
 |
| Lsb Industries Incorporated | 502160104 | LXU | $18,225.35 |
 |
| Dr Horton Incorporated | 23331A109 | DHI | $18,215.90 |
 |
| Ventas Realty Lp/cap Crp Company Guar 2. | 92276MBA2 | N/A | $18,201.98 |
 |
| Pacer International Incorporated | 69373H106 | PACR | $18,186.14 |
 |
| Penn West Petroleum Ltd Common Stock Npv | 707887105 | PWE | $18,170.01 |
 |
| Scana Corporation | 80589M102 | SCG | $18,165.89 |
 |
| Intermune Inccommon Stock | 45884X103 | ITMN | $18,096.59 |
 |
| Theravance Inc | 88338T104 | THRX | $18,060.51 |
 |
| Sms Student Loan Trust Smslt 2000 B A2 | 784582BD9 | N/A | $18,035.04 |
 |
| Seattle Genetics Incorporated | 812578102 | SGEN | $18,004.34 |
 |
| Vulcan Materials Incorporated | 929160109 | VMC | $18,004.21 |
 |
| Ventas Realty LP / Ventas Capital | 92276MAZ8 | N/A | $17,997.29 |
 |
| Wells Fargo Govt Mm Par 1751 | 94999R9K4 | N/A | $17,965.30 |
 |
| American Campus Cmntys Company Guar 3.75 | 024836AA6 | N/A | $17,952.08 |
 |
| 1st Utd Bancorp Incorporated Fla Com | 33740N105 | FUBC | $17,934.60 |
 |
| China Bluechemical Ltd H Common Stock Hkd1. | B1DN3X908 | N/A | $17,910.55 |
 |
| St Jude Medical Incorporated Sr Unsecured | 790849AJ2 | N/A | $17,901.58 |
 |
| Petsmart Inc | 716768106 | PETM | $17,896.81 |
 |
| Rabobank Nederland Utrec Bank Guarant | 21685WDD6 | N/A | $17,893.76 |
 |
| CS First Boston Mortgage Securities Corporation Series 2005-c5 Class A4 | 225470AP8 | N/A | $17,803.13 |
 |
| Performant Financial Corporation Common Stock Usd.01 | 71377E105 | PFMT | $17,731.92 |
 |
| Intel Corporation Sr Unsecured 12/32 4. | 458140AN0 | N/A | $17,621.95 |
 |
| Anglo American PLC Usd0.54945 | B1XZS8907 | AAL | $17,621.71 |
 |
| Wausau Paper Corporation | 943315101 | WPP | $17,558.48 |
 |
| Fed Hm Ln Pc Pool U80120 | 3132G7DZ5 | N/A | $17,551.20 |
 |
| Federal National Mortgage Association | 31417DPX5 | N/A | $17,551.01 |
 |
| Petrobras Intl Fin CO Sr Unsecured | 71645WAV3 | N/A | $17,470.83 |
 |
| Turlock Corporation | 900212AH4 | N/A | $17,468.24 |
 |
| Fusion Io Incorporated Common Stock | 36112J107 | FIO | $17,454.69 |
 |
| Amarin Corporation PLC ADR ADR Gbp.1 | 023111206 | AMRN | $17,432.39 |
 |
| Southwestern Electric Power CO | 845437BM3 | N/A | $17,386.43 |
 |
| Federal National Mortgage Association | 3136AAVJ1 | N/A | $17,299.29 |
 |
| Endeavour Mining Corp Common Stock Usd.01 | G3040R950 | EDV | $17,290.62 |
 |
| Nbcuniversal Enterprise Company Guar 144a | 63946CAD0 | N/A | $17,264.96 |
 |
| Berkshire Hathaway Incorporated Sr Unsecured 3. | 084670BJ6 | N/A | $17,212.37 |
 |
| Pacira Pharmaceuticals Incorporated | 695127100 | PCRX | $17,167.95 |
 |
| Bacm 2006-1 A4 | 05947U7L6 | N/A | $17,119.48 |
 |
| Talisman Energy Incorporated | 87425EAL7 | N/A | $17,110.49 |
 |
| American Intl Group Sr Unsecured | 026874CU9 | N/A | $17,105.43 |
 |
| Stoneridge Incorporated | 86183P102 | SRI | $17,100.45 |
 |
| MeadWestvaco | 583334107 | MWV | $17,099.07 |
 |
| Ppl Capital Funding Incorporated | 69352PAE3 | N/A | $17,089.41 |
 |
| Royal Bk Scotlnd Grp PLC Sub Notes | 780099CE5 | N/A | $17,087.44 |
 |
| Pinnacle West Capital Corporation | 723484101 | PNW | $17,037.46 |
 |
| Sarepta Therapeutics Incorporated Common Stock Usd.0001 | 803607100 | SRPT | $17,024.44 |
 |
| Volkswagen Auto Loan Enhanced Valet 2012 2 A2 | 92867LAB8 | N/A | $16,986.69 |
 |
| Coventry Health Care Incorporated | 222862104 | CVH | $16,975.40 |
 |
| Safeway Incorporated | 786514208 | SWY | $16,929.61 |
 |
| Msc_04-hq4 | 61745MT45 | N/A | $16,878.15 |
 |
| Xstrata Com Stk Usd0.5 | 314110909 | XTA | $16,865.47 |
 |
| Daimler Finance Na LLC Company Guar 144a | 233851AU8 | N/A | $16,856.48 |
 |
| UBS Barclays Commercial Mortga Ubsbb 2013 C5 A4 | 90270YBF5 | N/A | $16,803.79 |
 |
| Multimedia Games Inccommon | 625453105 | MGAM | $16,795.74 |
 |
| Duke Energy Indiana Incorporated 1st Mortgage 03/42 | 263901AD2 | N/A | $16,790.97 |
 |
| Hennes + Mauritz Sek0.25 Ser B | 568743900 | HMB | $16,784.64 |
 |
| International Flavors & Fragrances Incorporated | 459506101 | IFF | $16,769.71 |
 |
| Federal National Mortgage Association | 31418AQR2 | N/A | $16,764.22 |
 |
| Huntington Bancshares Incorporated | 446150104 | HBAN | $16,685.38 |
 |
| Federal National Mortgage Association | 31409LQ40 | N/A | $16,685.37 |
 |
| Slm Student Loan Trust Slma 2006 6 A2 | 83149FAB0 | N/A | $16,680.13 |
 |
| Walter Investment Management | 93317W102 | WAC | $16,628.71 |
 |
| GMAC Commercial Mortgage Secur Gmacc 2006 C1 Am | 361849R38 | N/A | $16,600.18 |
 |
| Capital Auto Receivables Asset Afin 2013 1 A4 | 13975EAD5 | N/A | $16,569.21 |
 |
| Kinder Morgan Ener Part Sr Unsecured 03/43 5. | 494550BP0 | N/A | $16,533.20 |
 |
| Sojitz Corporation Npv | 659414908 | N/A | $16,393.03 |
 |
| Quanta Services Incorporated | 74762E102 | PWR | $16,342.30 |
 |
| Newlink Genetics Corp | 651511107 | NLNK | $16,341.84 |
 |
| BMC Software Incorporated | 055921100 | BMC | $16,331.29 |
 |
| Government National Mortgage Association | 36204DHS1 | N/A | $16,322.58 |
 |
| Fed Hm Ln Pc Pool G30593 | 3128CUUS3 | N/A | $16,307.16 |
 |
| Iron Mountain Inc. | 462846106 | IRM | $16,291.62 |
 |
| Slm Student Loan Trust Slma 2012 6 B | 78447GAD3 | N/A | $16,276.26 |
 |
| Eizo Nanao Corp Npv | 645181900 | N/A | $16,262.50 |
 |
| DENTSPLY International Incorporated | 249030107 | XRAY | $16,249.17 |
 |
| Gemnt 2011 1 A Var | 36159JCE9 | N/A | $16,200.20 |
 |
| Wd-40 Company | 929236107 | WDFC | $16,190.46 |
 |
| Abaxis Inccommon Stock | 002567105 | ABAX | $16,106.17 |
 |
| Anheuser Busch Inbev Wor Fixed 7.75 | 03523TBE7 | N/A | $16,081.13 |
 |
| Sms Student Ln Tr 2000 A Asset Bkd Sr Nt Cl A 2 | 784582BA5 | N/A | $16,071.01 |
 |
| Fed Hm Ln Pc Pool Q00053 | 3132GDBW1 | N/A | $16,038.21 |
 |
| Tullett Prebon PLC Ord Gbp0.25 | B1H0DZ908 | TLPR | $16,037.24 |
 |
| American Tower Corporation Sr Unsecured | 03027XAB6 | N/A | $15,985.26 |
 |
| Xstrata Finance Canada Company Guar 144a 4. | 98417EAT7 | N/A | $15,955.97 |
 |
| Atricure Incorporated Common Stock Usd.001 | 04963C209 | ATRC | $15,942.43 |
 |
| Fed Hm Ln Pc Pool U62174 | 3132HXFP7 | N/A | $15,851.52 |
 |
| DFC Global Corporation | 23324T107 | DLLR | $15,660.63 |
 |
| Conagra Foods Incorporated Sr Unsecured | 205887BR2 | N/A | $15,656.27 |
 |
| Federal National Mortgage Association | 3138AHVY9 | N/A | $15,566.79 |
 |
| Dcp Midstream Operating Company Guar | 23311VAD9 | N/A | $15,511.82 |
 |
| Tripadvisor Incorporated Common Stock Usd.001 | 896945201 | TRIP | $15,496.56 |
 |
| Lloyds Banking Group PLC Ord Gbp0.25 | 087061008 | LLOY | $15,484.31 |
 |
| Rengo CO Jpy50 | 673220000 | N/A | $15,451.83 |
 |
| Slm Student Loan Trust Slma 2013 1 A2 | 78447MAB4 | N/A | $15,448.89 |
 |
| Mercury General Corporation | 589400100 | MCY | $15,417.08 |
 |
| Csl Npv | 618549901 | CSL | $15,414.84 |
 |
| Oneok Partners LP Company Guar 2. | 68268NAH6 | N/A | $15,304.15 |
 |
| Fed Hm Ln Pc Pool U91023 | 3132HBAY1 | N/A | $15,261.82 |
 |
| QEP Resources Incorporated | 74733V100 | QEP | $15,244.71 |
 |
| Family Dollar Stores Incorporated | 307000109 | FDO | $15,219.88 |
 |
| Slm Student Loan Trust Slma 2013 A A2a 144a | 78447RAB3 | N/A | $15,213.07 |
 |
| Fanuc Npv | 635693005 | N/A | $15,163.27 |
 |
| Philips Elec(kon) Eur0.20 | 598662906 | PHIA | $15,160.76 |
 |
| Capital One Multi-asset Execution Trust Series 2008-a3 Class A3 | 14041NED9 | N/A | $15,060.02 |
 |
| Hibbett Sports Incorporated | 428567101 | HIBB | $15,055.96 |
 |
| Expedia Incorporated Common Stock Usd.001 | 30212P303 | EXPE | $15,032.19 |
 |
| Torchmark Corporation | 891027104 | TMK | $15,018.17 |
 |
| Federal Home Loan Mortgage Company | 31398Q4F1 | N/A | $14,962.79 |
 |
| Goodman Fielder Npv | B0T0H7905 | GFF | $14,947.98 |
 |
| American Intl Group Fixed | 026874BW6 | N/A | $14,925.88 |
 |
| Telefonica Chile SA Sr Unsecured 144a | 87936UAA7 | N/A | $14,917.20 |
 |
| Bp Capital Markets PLC Company Guar | 05565QCB2 | N/A | $14,904.19 |
 |
| Hormel Foods Corporation | 440452100 | HRL | $14,895.98 |
 |
| Life Time Fitness Incorporated | 53217R207 | LTM | $14,863.44 |
 |
| Scripps Networks Interactive Incorporated | 811065101 | SNI | $14,847.73 |
 |
| Deutsche Telekom Npv(regd) | 584235907 | DTE | $14,678.85 |
 |
| Nordea Bank Ab Ord Eur0.39632 | 538003906 | NDA | $14,645.90 |
 |
| Government National Mortgage Association | 36203N7D4 | N/A | $14,605.44 |
 |
| Republic of Colombia Sr Unsecured | P3772NHK1 | N/A | $14,599.45 |
 |
| Fed Hm Ln Pc Pool U90599 | 3132H3UY7 | N/A | $14,583.50 |
 |
| Hospira Incorporated | 441060100 | HSP | $14,561.26 |
 |
| Greene King Gbp0.125 | B0HZP1905 | GNK | $14,529.87 |
 |
| Fed Hm Ln Pc Pool U90423 | 3132H3PG2 | N/A | $14,518.63 |
 |
| Federal National Mortgage Association | 3138W8AX0 | N/A | $14,499.58 |
 |
| Interpublic Group of Cos. | 460690100 | IPG | $14,461.97 |
 |
| Cabcharge Australia Npv | 619469901 | CAB | $14,375.92 |
 |
| Centrica Ord Gbp0.0617284 | B033F2900 | CNA | $14,355.06 |
 |
| Tessenderlo Chemie Npv | 488400003 | TESB | $14,337.85 |
 |
| Inditex Eur0.15 | 711131904 | ITX | $14,330.71 |
 |
| Teva Pharmaceutical Finance Compan | 88165FAG7 | N/A | $14,325.25 |
 |
| Federal National Mortgage Association | 3138EKKB0 | N/A | $14,282.25 |
 |
| Novadaq Technologies Incorporated Common Stock | 66987G102 | NVDQ | $14,260.45 |
 |
| General Elec Cap Corp | 36962G3P7 | N/A | $14,256.17 |
 |
| East Japan Railway Npv | 629854902 | N/A | $14,254.42 |
 |
| Electronic Arts Incorporated | 285512109 | EA | $14,242.35 |
 |
| Cross Country Healthcare Inc | 227483104 | CCRN | $14,231.76 |
 |
| Honda Auto Receivables Owner T Harot 2012 3 A2 | 43813XAB0 | N/A | $14,230.09 |
 |
| Volkswagen AG Non Vtg Prf Npv | 549716900 | N/A | $14,190.08 |
 |
| Kingboard Laminate Npv | B1HHFV908 | N/A | $14,146.85 |
 |
| Bayerische Motoren Werke AG Eur1 | 575602909 | BMW | $14,121.61 |
 |
| Fed Hm Ln Pc Pool Q00769 | 3132GD2A9 | N/A | $14,102.60 |
 |
| Applied Micro Circuits Corp. | 03822W406 | AMCC | $14,086.61 |
 |
| Nbcuniversal Media LLC Sr Unsecured 01/43 4.45 | 63946BAJ9 | N/A | $14,084.17 |
 |
| Mitsui Fudosan Company | 659760003 | N/A | $14,077.92 |
 |
| Robert Half International | 770323103 | RHI | $14,043.95 |
 |
| Harris Corporation | 413875105 | HRS | $14,022.62 |
 |
| University of Pennsylvan | 91481CAA8 | N/A | $14,010.87 |
 |
| Mitsubishi Estate Jpy50 | 659672000 | N/A | $13,967.28 |
 |
| Fossil Inc | 349882100 | FOSL | $13,835.15 |
 |
| Morgan Stanley Baml Trust Msbam 2012 C5 A3 | 61761AAY4 | N/A | $13,815.72 |
 |
| Gccfc_04-gg1 | 396789FT1 | N/A | $13,789.55 |
 |
| Conagra Foods Incorporated Sr Unsecured | 205887BP6 | N/A | $13,782.22 |
 |
| Xylem Incorporated W/i Common Stock | 98419M100 | XYL | $13,757.73 |
 |
| Jp Morgan Chase Commercial Mor Jpmcc 2012 C8 Asb | 46638UAD8 | N/A | $13,756.15 |
 |
| Bm+f Bovespa SA Bo Com Npv | B2RHNV906 | N/A | $13,656.44 |
 |
| Federal Natl Mtg Assn Ser 2005 5 Cl Pa | 31394B5A8 | N/A | $13,624.72 |
 |
| Fiat Industrial Common Stock Eur1.5 | ACI00E6X6 | FI | $13,580.70 |
 |
| Prudential Financial Incorporated Jr Subordina 03/44 Var | 744320AN2 | N/A | $13,544.48 |
 |
| Citigroup Incorporated Sr Unsecured 2.65 | 172967FY2 | N/A | $13,539.27 |
 |
| Westar Energy Incorporated 1st Mortgage 04/43 | 95709TAJ9 | N/A | $13,501.17 |
 |
| Hasbro Incorporated | 418056107 | HAS | $13,500.91 |
 |
| .0e059oa Barclays, S/d | 921XTZII8 | N/A | $13,307.17 |
 |
| Tenet Healthcare Corp Common Stock Usd.05 | 88033G407 | THC | $13,305.11 |
 |
| Geospace Technologies Corp Common Stock Usd.01 | 37364X109 | GEOS | $13,281.66 |
 |
| Agl Resources Incorporated | 001204106 | GAS | $13,260.02 |
 |
| Federal National Mortgage Association | 31402DF70 | N/A | $13,249.98 |
 |
| Zoetis Incorporated Sr Unsecured 144a | 98978VAA1 | N/A | $13,238.66 |
 |
| Markel Corporation Sr Unsecured | 570535AK0 | N/A | $13,229.81 |
 |
| Genworth Financial Inc. | 37247D106 | GNW | $13,212.04 |
 |
| Pepco Holdings Incorporated | 713291102 | POM | $13,202.57 |
 |
| Lonking Holdings Ltd Hkd0.1 | B0MSW5908 | N/A | $13,198.18 |
 |
| Medley Capital Corp Common Stock | 58503F106 | MCC | $13,174.20 |
 |
| HSBC Holdings PLC 4 | 404280AN9 | N/A | $13,168.99 |
 |
| Assurant Incorporated Sr Unsecured 4. | 04621XAF5 | N/A | $13,129.13 |
 |
| DBS Group Holdings | 617520903 | DBS | $13,125.04 |
 |
| Mlmt 2005-cipi A4 | 59022HJL7 | N/A | $13,117.58 |
 |
| Shin Etsu Chem CO Npv | 680458007 | N/A | $13,087.41 |
 |
| Federal National Mortgage Association | 921XRRII8 | N/A | $13,074.19 |
 |
| Philip Morris Intl Incorporated Sr Unsecured | 718172AV1 | N/A | $13,066.07 |
 |
| Cepheid Incorporated | 15670R107 | CPHD | $13,045.37 |
 |
| Hvmlt 3a2a | 41161PKF9 | N/A | $13,023.62 |
 |
| Zoetis Incorporated Sr Unsecured 144a | 98978VAF0 | N/A | $13,018.26 |
 |
| Werner Enterprises Inc | 950755108 | WERN | $12,980.99 |
 |
| Diamond Offshore Drilling Inc | 25271C102 | DO | $12,966.26 |
 |
| Hitachi Npv | 642910004 | N/A | $12,945.16 |
 |
| Leggett & Platt Incorporated | 524660107 | LEG | $12,932.31 |
 |
| Snap-On Incorporated | 833034101 | SNA | $12,921.72 |
 |
| Fed Hm Ln Pc Pool U91102 | 3132HBDF9 | N/A | $12,904.37 |
 |
| Rio Tinto Limited Npv | 622010007 | RIO | $12,833.72 |
 |
| Federal National Mortgage Association | 3138AMTV7 | N/A | $12,765.98 |
 |
| Federal National Mortgage Association | 31409LQ32 | N/A | $12,738.08 |
 |
| Directv Holdings/fing Company Guar | 25459HBF1 | N/A | $12,677.51 |
 |
| Itau Unibanco Hldg Sa/ky Sub Notes 144a | 46556LAJ3 | N/A | $12,675.48 |
 |
| Nabors Industries Limited | G6359F103 | NBR | $12,658.27 |
 |
| Comm Mortgage Trust Comm 2013 Lc6 Asb | 20048EAW1 | N/A | $12,648.80 |
 |
| Federal National Mortgage Association | 3138ARYJ7 | N/A | $12,624.71 |
 |
| Energy Transfer Partners Sr Unsecured | 29273RAS8 | N/A | $12,620.60 |
 |
| Petroleos Mexicanos Company Guar 144a 06/44 | 71656LAN1 | N/A | $12,616.60 |
 |
| Morgan Stanley Baml Trust Msbam 2013 C7 Aab | 61690KAC6 | N/A | $12,592.12 |
 |
| Windstream Corporation | 97381W104 | WIN | $12,587.94 |
 |
| Cemig Cia Energ Mg Pref Brl5.00 | B1YBRG902 | N/A | $12,584.57 |
 |
| Sealed Air Corporation | 81211K100 | SEE | $12,580.72 |
 |
| Triangle Petroleum Corp Common Stock Usd.00001 | 89600B201 | TPLM | $12,540.15 |
 |
| Federal National Mortgage Association | 3138AHVZ6 | N/A | $12,526.04 |
 |
| Slm Student Loan Trust Slma 2013 1 B | 78447MAD0 | N/A | $12,510.77 |
 |
| Aegerion Pharmaceuticals Incorporated | 00767E102 | AEGR | $12,501.84 |
 |
| Dow Chemical Co/the Sr Unsecured 11/41 | 260543CE1 | N/A | $12,499.28 |
 |
| Federal National Mortgage Association | 3138W1TT4 | N/A | $12,479.69 |
 |
| Vale SA Sr Unsecured 09/42 | 91912EAA3 | N/A | $12,465.21 |
 |
| Liberty Mutual Group Incorporated Company Guar 144a 05/42 | 53079EAZ7 | N/A | $12,440.37 |
 |
| America Movil Sab De Cv Fixed | 02364WBC8 | N/A | $12,439.72 |
 |
| Hatteras Financial Corporation | 41902R103 | HTS | $12,365.52 |
 |
| Wal Mart Stores Incorporated 04/41 Fixed | 931142DB6 | N/A | $12,352.94 |
 |
| Zions Bancorporation | 989701107 | ZION | $12,342.36 |
 |
| Arrium Ltd Common Stock Npv | B7NKJX903 | ARI | $12,329.51 |
 |
| Duke Energy Corp Sr Unsecured | 26441CAH8 | N/A | $12,297.90 |
 |
| Johnson Elec Hldgs Hkd0.0125 | 628193906 | N/A | $12,296.22 |
 |
| Federal National Mortgage Association | 3138W52T4 | N/A | $12,262.78 |
 |
| Federal National Mortgage Association | 31419AWC7 | N/A | $12,248.73 |
 |
| Wps Resources Corp. | 45822P105 | TEG | $12,227.01 |
 |
| People's United Financial Incorporated | 712704105 | PBCT | $12,205.50 |
 |
| Aramark Corporation Deposit Funded Facility | 03852CAB2 | N/A | $12,164.56 |
 |
| Gdf Suez Eur1 | B0C2CQ902 | GSZ | $12,155.95 |
 |
| Alent PLC Common Stock | B7T18K909 | N/A | $12,153.72 |
 |
| Woodside Petroleum Npv | 697972008 | WPL | $12,078.29 |
 |
| Iberiabank Corporation | 450828108 | IBKC | $12,075.50 |
 |
| Cons Edison CO of NY 03/43 3.95 | 209111FC2 | N/A | $12,061.80 |
 |
| Intertape Polymer Group Incorporated | 460919103 | ITPOF | $12,038.65 |
 |
| Astellas Pharma Incorporated Npv | 698538006 | N/A | $11,996.79 |
 |
| Apartment Invt. & Mgmt | 03748R101 | AIV | $11,988.43 |
 |
| Epiq Systems Inc | 26882D109 | EPIQ | $11,981.96 |
 |
| Santander Drive Auto Receivabl Sdart 2012 5 A2 | 80282UAB0 | N/A | $11,964.72 |
 |
| Time Warner Cable Incorporated Company Guar 09/42 | 88732JBD9 | N/A | $11,963.42 |
 |
| Pacific Lifecorp Sr Unsecured 144a 01/43 | 694476AD4 | N/A | $11,899.80 |
 |
| Teva Pharmaceutical Finance Iv LLC | 88166HAD9 | N/A | $11,830.26 |
 |
| Georgia Power Company Sr Unsecured 03/43 | 373334KA8 | N/A | $11,803.96 |
 |
| Rowan Companies PLC Common Stock Usd.125 | G7665A101 | RDC | $11,781.02 |
 |
| Slc Student Loan Trust Slclt 2007 2 A2 | 784422AB3 | N/A | $11,774.65 |
 |
| Federal National Mortgage Association | 3138AMTS4 | N/A | $11,742.15 |
 |
| Federal National Mortgage Association | 3138AMTU9 | N/A | $11,738.19 |
 |
| Owens-Illinois Incorporated | 690768403 | OI | $11,725.23 |
 |
| Federal National Mortgage Association | 31416YWR5 | N/A | $11,707.04 |
 |
| International Game Technology | 459902102 | IGT | $11,698.38 |
 |
| Comstock Resources | 205768203 | CRK | $11,688.84 |
 |
| Sterling Bancorp-n Y | 859158107 | STL | $11,688.15 |
 |
| Compass Group Ord Gbp0.10 | 053315909 | CPG | $11,676.71 |
 |
| Seven + I Holdings Npv | B0FS5D909 | N/A | $11,652.48 |
 |
| Owens Corning Incorporated Company Guar | 690742AD3 | N/A | $11,628.20 |
 |
| Actelion Chf0.5 (regd)(post Subd) | B1YD5Q900 | ATLN | $11,597.39 |
 |
| Canadian Oil Sands Ltd Sr Unsecured 144a | 13643EAG0 | N/A | $11,576.69 |
 |
| Goldman Sachs Group Incorporated Sr Unsecured | 38141GRD8 | N/A | $11,567.17 |
 |
| Avery Dennison Corporation | 053611109 | AVY | $11,561.61 |
 |
| Cms Energy Corp Fixed 2.75 | 125896BH2 | N/A | $11,559.79 |
 |
| Accretive Health Incorporated Common Stock Usd.01 | 00438V103 | AH | $11,550.50 |
 |
| Rogers Communications Incorporated 3 | 775109AW1 | N/A | $11,512.86 |
 |
| General Electric Capital Corporation | 36962G4B7 | N/A | $11,491.34 |
 |
| Singapore Telecommunications Limited | B02PY2901 | ST | $11,484.01 |
 |
| RSA Insurance Group PLC Ord Gbp0.275 | 066168907 | RSA | $11,438.03 |
 |
| Anworth Mortgage Asset Corporation | 037347101 | ANH | $11,422.12 |
 |
| Federal National Mortgage Association | 3138MLES9 | N/A | $11,407.79 |
 |
| Urban Outfitters Incorporated | 917047102 | URBN | $11,368.14 |
 |
| Five Below Common Stock Usd.01 | 33829M101 | FIVE | $11,367.84 |
 |
| Vesuvius PLC Common Stock Gbp1. | B82YXW900 | VSVS | $11,349.05 |
 |
| Firstgroup Ord Gbp0.05 | 034521906 | FGP | $11,338.46 |
 |
| Citigroup Incorporated Sr Unsecured | 172967FT3 | N/A | $11,336.47 |
 |
| Eads(euro Aero Def Eur1 | 401225909 | EAD | $11,332.55 |
 |
| Philip Morris Intl Incorporated Sr Unsecured 03/43 | 718172AW9 | N/A | $11,317.05 |
 |
| Federal National Mortgage Association | 31402QTR2 | N/A | $11,309.97 |
 |
| Illinois St Ils Fixed | 452152HS3 | N/A | $11,303.95 |
 |
| Pearson Funding Four PLC Company Guar 144a 3.75 | 705011AA2 | N/A | $11,223.25 |
 |
| Slm Student Loan Trust Slma 2007 2 A2 | 78443XAB4 | N/A | $11,185.75 |
 |
| Komatsu Npv | 649658002 | N/A | $11,176.72 |
 |
| Federal National Mortgage Association | 3138MRY88 | N/A | $11,154.99 |
 |
| Bemis Company Incorporated | 081437105 | BMS | $11,147.25 |
 |
| Essilor Intl Eur0.18 | 721247906 | EI | $11,085.52 |
 |
| Federal National Mortgage Association | 31418AQ92 | N/A | $11,050.00 |
 |
| Goodman Funding Pty Ltd 6 | 38239FAE9 | N/A | $11,041.11 |
 |
| Penske Truck Leasing/ptl Sr Unsecured 144a | 709599AL8 | N/A | $11,031.20 |
 |
| Hudson City Bancorp Incorporated | 443683107 | HCBK | $11,013.56 |
 |
| Nomura Holdings Npv | 664310000 | N/A | $11,001.01 |
 |
| Cheung Kong(hldgs) Hkd0.50 | 619027006 | N/A | $10,983.09 |
 |
| Marathon Petroleum Corp Sr Unsecured 03/41 | 56585AAF9 | N/A | $10,980.83 |
 |
| Harot_10-2 | 43812KAD5 | N/A | $10,893.74 |
 |
| Wr Berkley Corp | 084423AS1 | N/A | $10,876.97 |
 |
| Molex Incorporated | 608554101 | MOLX | $10,869.49 |
 |
| Federal National Mortgage Association | 31393UAK9 | N/A | $10,802.46 |
 |
| At+t Incorporated Sr Unsecured | 00206RBN1 | N/A | $10,740.35 |
 |
| Iberdrola SA Eur0.75 (post Subdivision) | B288C9908 | IBE | $10,733.19 |
 |
| Adidas AG NPV | 403197908 | ADS | $10,703.29 |
 |
| Santander Drive Auto Receivabl Sdart 2012 5 A3 | 80282UAC8 | N/A | $10,692.88 |
 |
| Total System Services Incorporated | 891906109 | TSS | $10,676.74 |
 |
| Frontier Communications Corporation | 35906A108 | FTR | $10,653.92 |
 |
| Silicon Laboratories Incorporated | 826919102 | SLAB | $10,620.75 |
 |
| Forum Energy Technologies In Common Stock | 34984V100 | FET | $10,618.51 |
 |
| Government National Mortgage Association | 38374B5G4 | N/A | $10,587.80 |
 |
| Nissan Auto Receivables Owner Narot 2012 B A2 | 65476GAB8 | N/A | $10,527.38 |
 |
| Merrill Lynch Mortgage Trust Series 2005-cip1 Class A3a | 59022HJJ2 | N/A | $10,521.49 |
 |
| Illinois St Ils Fixed | 452152HT1 | N/A | $10,502.17 |
 |
| Mmca Automobile Trust Mmca 2011 A A4 | 55314JAD5 | N/A | $10,482.15 |
 |
| Denso Corp Npv | 664038007 | N/A | $10,471.51 |
 |
| Scot + Southern En Ord Gbp0.50 | 079087003 | SSE | $10,462.06 |
 |
| Svenska Handelsbanken Series A Ser A Sek4.30 | 570366906 | SHBA | $10,407.40 |
 |
| Coca Cola Co/the Sr Unsecured | 191216BA7 | N/A | $10,388.58 |
 |
| American Express Credit Accoun Amxca 2012 3 A | 02587AAC8 | N/A | $10,383.71 |
 |
| Hutchison Whampoa Hkd0.25 | 644806002 | N/A | $10,337.78 |
 |
| SAIC Incorporated | 78390X101 | SAI | $10,310.00 |
 |
| Asml Holding Nv Common Stock Eur.09 | ACI02GTQ9 | ASML | $10,307.66 |
 |
| Forest Oil Corporation | 346091705 | FST | $10,281.77 |
 |
| Perkinelmer Incorporated | 714046109 | PKI | $10,259.67 |
 |
| Federal National Mortgage Association | 3138EKUF0 | N/A | $10,203.19 |
 |
| Vinci Eur2.50 (post Subdivision) | B1XH02900 | DG | $10,188.71 |
 |
| Nasdaq OMX Group Incorporated | 631103108 | NDAQ | $10,188.40 |
 |
| Telstra Corp Npv | 608728903 | TLS | $10,177.11 |
 |
| Slm Student Loan Trust Slma 2007 2 B | 78443XAE8 | N/A | $10,136.15 |
 |
| Federal National Mortgage Association | 31417FPB8 | N/A | $10,134.34 |
 |
| Overseas Chinese Bk Sgd0.5 | B0F9V2906 | OCBC | $10,128.89 |
 |
| Glencore International W/i Common Stock Usd.01 | B4T3BW902 | GLEN | $10,121.05 |
 |
| Flir Systems Incorporated | 302445101 | FLIR | $10,111.09 |
 |
| Verwaltungs U.priv Chf10(br) | 596800904 | VPB | $10,055.35 |
 |
| Federal National Mortgage Association | 31416SRH6 | N/A | $10,051.68 |
 |
| Toshiba Corporation | 689721009 | N/A | $10,031.57 |
 |
| Intel Corporation | 458140AM2 | N/A | $10,006.55 |
 |
| LSI Logic Corporation | 502161102 | LSI | $9,994.63 |
 |
| Tokio Marine Holding Incorporated Npv | 651312902 | N/A | $9,972.57 |
 |
| Home Retail Group Ord Gbp0 | B19NKB902 | HOME | $9,963.29 |
 |
| Bridgestone Corp Npv | 613210004 | N/A | $9,957.81 |
 |
| Illinois St Ils Fixed | 452152HU8 | N/A | $9,928.07 |
 |
| Federal National Mortgage Association | 3138W4CZ2 | N/A | $9,901.28 |
 |
| Legg Mason Incorporated | 524901105 | LM | $9,894.64 |
 |
| Rowan Companies Incorporated Company Guar 12/42 | 779382AQ3 | N/A | $9,855.60 |
 |
| TECO Energy Incorporated | 872375100 | TE | $9,758.47 |
 |
| Power One Incorporated | 73930R102 | PWER | $9,717.07 |
 |
| Garmin Ltd Common Stock Chf10.0 | H2906T109 | GRMN | $9,704.12 |
 |
| Public Service Colorado 1st Mortgage 03/43 3.95 | 744448CJ8 | N/A | $9,702.68 |
 |
| Progress Energy Carolina 1st Mortgage 05/42 | 144141DB1 | N/A | $9,651.46 |
 |
| Apt Pipelines Ltd Company Guar 144a | 00205GAA5 | N/A | $9,644.54 |
 |
| Federal National Mortgage Association | 3138AHVV5 | N/A | $9,622.05 |
 |
| Sumitomo Rlty+dev Jpy50 | 685890006 | N/A | $9,602.18 |
 |
| Conagra Foods Incorporated Sr Unsecured | 205887BQ4 | N/A | $9,585.59 |
 |
| New Mountain Finance Corp Common Stock Usd.01 | 647551100 | NMFC | $9,542.75 |
 |
| Arm Hldgs Ord Gbp0.0005 | 005958905 | ARM | $9,539.90 |
 |
| Enterprise Products Oper Company Guar 03/44 4.85 | 29379VBA0 | N/A | $9,512.22 |
 |
| Assurant Incorporated | 04621X108 | AIZ | $9,511.57 |
 |
| Pernod Ricard SA Fixed 5.75 | 714264AA6 | N/A | $9,494.86 |
 |
| Bank of America Corp Fixed | 06051GEE5 | N/A | $9,479.53 |
 |
| Jpmcc 2010 Cntr A1 08/32 Fixed | 46636AAA0 | N/A | $9,472.10 |
 |
| Citigroup Coml Mtg Tr 2007 C6 Mtg Pass Thru Ctf Cla4 | 17311QBK5 | N/A | $9,466.63 |
 |
| Nordion Incorporated Common Stock | 65563C105 | NDZ | $9,419.77 |
 |
| Nippon Steel Corp Npv | 664256005 | N/A | $9,404.60 |
 |
| France Telecom | 517617908 | FTE | $9,372.62 |
 |
| Atlas Copco Ab Ser A Npv | B1QGR4907 | ATCOA | $9,363.30 |
 |
| MetroPCS Communications Incorporated | 591708102 | PCS | $9,354.93 |
 |
| Team Incorporated | 878155100 | TISI | $9,311.64 |
 |
| Slm Student Ln Tr 2005 9 Student Ln Bkd Nt Cl A4 | 78442GQX7 | N/A | $9,282.78 |
 |
| Fed Hm Ln Pc Pool U90068 | 3132H3CD3 | N/A | $9,278.88 |
 |
| Transocean Ltd Common Stock Chf15.0 | B5W3ND904 | RIGN | $9,272.24 |
 |
| Niagara Mohawk Power Sr Unsecured 144a 11/42 | 65364UAE6 | N/A | $9,264.48 |
 |
| Dun & Bradstreet Corp | 26483E100 | DNB | $9,168.77 |
 |
| Allegheny Technologies Inc. | 01741R102 | ATI | $9,138.61 |
 |
| Swedbank Ab Ser A Npv | 484652904 | SWEDA | $9,136.27 |
 |
| Healthstream Incorporated | 42222N103 | HSTM | $9,118.03 |
 |
| Jabil Circuit Incorporated | 466313103 | JBL | $9,115.49 |
 |
| Gamestop Corporation | 36467W109 | GME | $9,088.56 |
 |
| Santander Drive Auto Receivabl Sdart 2012 6 A3 | 80283CAC7 | N/A | $9,088.37 |
 |
| Goldman Sachs Group Incorporated | 38141GFD1 | N/A | $9,075.39 |
 |
| Zoetis Incorporated Common Stock Usd.01 | 98978V103 | ZTS | $9,075.00 |
 |
| Hong Kong Exchange Hkd1 | 626735906 | N/A | $9,071.61 |
 |
| Dean Foods Company | 242370104 | DF | $9,038.65 |
 |
| Rabobank Nederland Bank Guarant 3.95 | 21685WDF1 | N/A | $9,015.57 |
 |
| Mlmt 2005-cki1 A6 | 59022HMU3 | N/A | $8,986.51 |
 |
| Nippon Elec Glass Jpy50 | 664266004 | N/A | $8,963.74 |
 |
| Federal National Mortgage Association | 31406FBT7 | N/A | $8,943.75 |
 |
| Progress Energy Incorporated Sr Unsecured | 743263AS4 | N/A | $8,943.71 |
 |
| Assic Generali Eur1.00 | 405671009 | G | $8,925.96 |
 |
| Federal National Mortgage Association | 3138W52Z0 | N/A | $8,880.05 |
 |
| Bco Esp De Credito Eur1.16(regd) | 407291004 | BTO | $8,840.14 |
 |
| Federal Realty Invs Trst Sr Unsecured 3. | 313747AS6 | N/A | $8,798.58 |
 |
| Astro Malaysia Holdings Bhd Common Stock Myr.1 | B7W5GK907 | ASTRO | $8,795.60 |
 |
| Credit Suisse Mortgage Capital Certificates Series 2006-c4 Class A3 | 22545MAD9 | N/A | $8,751.82 |
 |
| Raptor Pharmaceutical Corp | 75382F106 | RPTP | $8,714.59 |
 |
| Zoetis Incorporated Sr Unsecured 144a 02/43 | 98978VAC7 | N/A | $8,669.96 |
 |
| Dbubs Mortgage Trust Dbubs 2011 Lc2a A4 144a | 23305XAD3 | N/A | $8,642.68 |
 |
| Santander Drive Auto Receivabl Sdart 2012 3 A2 | 80282WAB6 | N/A | $8,619.21 |
 |
| Cablevision Systems Corporation | 12686C109 | CVC | $8,604.13 |
 |
| Wpx Energy Incorporated Common Stock | 98212B103 | WPX | $8,597.30 |
 |
| Experian PLC Ord Usd0.10 | B19NLV907 | EXPN | $8,591.01 |
 |
| Bbcn Bancorp Incorporated Common Stock Usd.001 | 073295107 | BBCN | $8,583.50 |
 |
| Federal Home Loan Mortgage Company | 31394XVF0 | N/A | $8,567.47 |
 |
| Mitsubishi Hvy Ind Npv | 659706006 | N/A | $8,566.88 |
 |
| Sony Corporation | 682150008 | N/A | $8,561.61 |
 |
| Patterson Dental Co. | 703395103 | PDCO | $8,532.46 |
 |
| Unicredit SpA Common Stock Npv | ACI01A0K7 | UCG | $8,524.38 |
 |
| Heineken Nv Eur1.60 | 779255900 | HEIA | $8,523.20 |
 |
| Hcp Incorporated Sr Unsecured | 40414LAH2 | N/A | $8,490.15 |
 |
| Lb Commercial Conduit Mortgage Lbcmt 2007 C3 A3 | 50177AAC3 | N/A | $8,468.25 |
 |
| Wellpoint Incorporated Sr Unsecured | 94973VAX5 | N/A | $8,457.43 |
 |
| Tullow Oil Ord Gbp0.10 | 015008907 | TLW | $8,446.52 |
 |
| Qbe Ins Group Npv | 671574002 | QBE | $8,423.82 |
 |
| Time Warner Cable Incorporated | 88732JBA5 | N/A | $8,416.54 |
 |
| Shire PLC Ord Gbp 0.05 | B2QKY0906 | SHP | $8,411.87 |
 |
| Potomac Electric Power 1st Mortgage 03/43 | 737679DE7 | N/A | $8,394.67 |
 |
| Morgan Stanley Sr Unsecured 3.75 | 61746BDJ2 | N/A | $8,373.71 |
 |
| Fed Hm Ln Pc Pool U80538 | 3132G7S30 | N/A | $8,371.61 |
 |
| Ppr Eur4 | 550507909 | PP | $8,336.10 |
 |
| Goodyear Tire & Rubber Company | 382550101 | GT | $8,297.84 |
 |
| Federal National Mortgage Association | 31417FKT4 | N/A | $8,296.99 |
 |
| Carrefour Eur2.50 | 564156909 | CA | $8,295.29 |
 |
| Teradyne Incorporated | 880770102 | TER | $8,277.55 |
 |
| Husky Energy Incorporated | 448055AF0 | N/A | $8,277.47 |
 |
| Commercial Mortgage Pass Throu Comm 2012 Lc4 A4 | 126192AD5 | N/A | $8,275.38 |
 |
| Markel Corporation Sr Unsecured | 570535AM6 | N/A | $8,222.43 |
 |
| E*TRADE Financial Corporation | 269246401 | ETFC | $8,195.48 |
 |
| Electricite De France Fixed | 268317AD6 | N/A | $8,175.75 |
 |
| Federal Home Ln Mtg Corp Preassign 00329 Ser T59 Cl 1a3 | 31394PPS6 | N/A | $8,166.87 |
 |
| Panasonic Corporation | 657270005 | N/A | $8,160.14 |
 |
| Newfield Exploration Company | 651290108 | NFX | $8,129.31 |
 |
| American Tower Corporation | 029912BC5 | N/A | $8,115.19 |
 |
| Sampo Oyj Ser A Npv | 522603901 | SAMAS | $8,105.90 |
 |
| Equity One Incorporated Company Guar 3.75 | 294752AH3 | N/A | $8,100.28 |
 |
| FHLMC | 31394JD95 | N/A | $8,039.98 |
 |
| Pitney Bowes Incorporated | 724479100 | PBI | $8,022.94 |
 |
| Mitsubishi Elec Cp Jpy50 | 659704001 | N/A | $8,018.94 |
 |
| U.S. Treasury N/b | 912810QT8 | N/A | $8,011.37 |
 |
| Kao Corp Npv | 648380004 | N/A | $8,008.40 |
 |
| Exact Sciences Corp Common Stock Usd.01 | 30063P105 | EXAS | $7,983.94 |
 |
| Kirin Holdings CO Ltd Npv | 649374006 | N/A | $7,960.98 |
 |
| Federal National Mortgage Association | 31402DGM6 | N/A | $7,955.34 |
 |
| Suncorp Metway Npv | 658508007 | SUN | $7,940.75 |
 |
| Federal National Mortgage Association | 3138W4Q61 | N/A | $7,932.51 |
 |
| Amp Limited Npv | 670995901 | AMP | $7,894.75 |
 |
| Fast Retailing CO Npv | 633243902 | N/A | $7,884.58 |
 |
| Newcrest Mining Limited | 663710002 | NCM | $7,842.67 |
 |
| Central Jpan Rlwy Npv | 618355903 | N/A | $7,839.80 |
 |
| Legal + General Gp Ord Gbp0.025 | 056039902 | LGEN | $7,795.11 |
 |
| Teliasonera Ab Sek3.2 | 597838903 | TLSN | $7,778.57 |
 |
| Fed Hm Ln Pc Pool U89020 | 3132H1AW7 | N/A | $7,760.60 |
 |
| Vodafone Group PLC Sr Unsecured 02/43 | 92857WBD1 | N/A | $7,757.94 |
 |
| Cliffs Natural Resources Incorporated | 18683K101 | CLF | $7,723.13 |
 |
| Telenor Asa Ord Nok6 | 473249902 | TEL | $7,698.99 |
 |
| Wellpoint Incorporated Sr Unsecured 05/42 | 94973VAY3 | N/A | $7,694.02 |
 |
| Hongkong+china Gas Hkd0.25 | 643655004 | N/A | $7,686.60 |
 |
| Treasury Bill 0.00000 | 912796AH2 | N/A | $7,680.42 |
 |
| Treasury Bill 0.00000 | 9127956W6 | N/A | $7,679.67 |
 |
| Clp Holdings Hkd5 | 609701909 | N/A | $7,603.19 |
 |
| Keyence Corp Jpy50 | 649099009 | N/A | $7,586.90 |
 |
| Sandvik Ab Npv (post Split) | B1VQ25903 | SAND | $7,580.36 |
 |
| Fresenius SE | 435209903 | FRE | $7,560.30 |
 |
| Origin Energy Npv | 621486901 | ORG | $7,556.95 |
 |
| Michelin(cgde) Eur2(regd) | 458836004 | ML | $7,487.70 |
 |
| Svenska Cellulosa Ser B Npv (post Split) | B1VVGZ901 | SCAB | $7,460.80 |
 |
| Murata Mfg CO Npv | 661040006 | N/A | $7,460.46 |
 |
| Federal National Mortgage Association | 31414UWL8 | N/A | $7,409.40 |
 |
| Federal National Mortgage Association | 3138W52U1 | N/A | $7,408.48 |
 |
| Markel Corporation Sr Unsecured 03/43 5. | 570535AP9 | N/A | $7,406.61 |
 |
| Cie De St Gobain Eur4 | 738048909 | SGO | $7,400.40 |
 |
| Keppel Corp Npv | B1VQ5C905 | KEP | $7,389.43 |
 |
| Skyline Corporation | 830830105 | SKY | $7,378.26 |
 |
| British Sky Broadcast Ord Gbp0.50 | 014119903 | BSY | $7,299.73 |
 |
| Omnicom Group Incorporated Sr Unsecured | 681919AZ9 | N/A | $7,278.70 |
 |
| Reed Elsevier Ord Gbp0.14 | B2B0DG904 | REL | $7,233.40 |
 |
| Pearson Ord Gbp0.25 | 067760009 | PSON | $7,213.92 |
 |
| Tellabs Incorporated | 879664100 | TLAB | $7,179.60 |
 |
| Fresenius Medical Care Ag+co Eur Spread | 512907908 | FME | $7,163.13 |
 |
| Kbw Regional Banking Etf | 78464A698 | KRE | $7,159.93 |
 |
| Kubota Corp Npv | 649750007 | N/A | $7,154.87 |
 |
| Federal National Mortgage Association | 31417DWZ2 | N/A | $7,143.01 |
 |
| Ono Pharmaceutical Jpy50 | 666010004 | N/A | $7,069.30 |
 |
| Nordea Bank Ab Fixed | 65557FAA4 | N/A | $7,052.07 |
 |
| Univest Corp of Pennsylvania | 915271100 | UVSP | $7,033.35 |
 |
| Ohio St Univ Ohshgr Fixed Oid | 677632PA3 | N/A | $6,988.69 |
 |
| Skand Enskilda Bkn Ser A Sek10 | 481334902 | SEBA | $6,914.08 |
 |
| Fed Hm Ln Pc Pool U89018 | 3132H1AU1 | N/A | $6,890.54 |
 |
| Federal National Mortgage Association | 31409K6P7 | N/A | $6,859.40 |
 |
| Brambles Ltd Npv | B1FJ0C904 | BXB | $6,825.18 |
 |
| Assa Abloy Sek1 Ser B | 569878903 | ASSAB | $6,814.99 |
 |
| Kyocera Corp Jpy50 | 649926003 | N/A | $6,788.70 |
 |
| Federal Natl Mtg Assn Preassign 00162/2002 33 Cl A2 | 31392DGT3 | N/A | $6,760.80 |
 |
| Royal Dutch Shell A Shs Eur0.07 (dutch List) | B09CBL906 | RDSA | $6,727.11 |
 |
| Fed Hm Ln Pc Pool U90507 | 3132H3R47 | N/A | $6,697.29 |
 |
| Tokyo Gas CO Npv | 689544005 | N/A | $6,691.23 |
 |
| Sgs SA Chf1(regd) | 482477007 | SGSN | $6,689.53 |
 |
| Orix Corporation | 666114004 | N/A | $6,616.41 |
 |
| Investor Ab Ser B Npv | 567959903 | INVEB | $6,610.39 |
 |
| Standard Life Ord Gbp0.10 | B16KPT907 | N/A | $6,584.92 |
 |
| Continental AG Ord Npv | 459858908 | CON | $6,581.97 |
 |
| Turlock Corporation | 900212AA9 | N/A | $6,465.20 |
 |
| Kesa Electricals Ord Gbp0.25 | 330401902 | DRTY | $6,464.20 |
 |
| Berkshire Hathaway Incorporated Sr Unsecured 02/43 | 084670BK3 | N/A | $6,435.07 |
 |
| Rockwool Intl Ser B Dkk10 | 471349902 | ROCKB | $6,434.91 |
 |
| Avon Products Incorporated Sr Unsecured | 054303AX0 | N/A | $6,430.20 |
 |
| Seadrill Ltd Usd2 | B09RMQ900 | SDRL | $6,399.64 |
 |
| Avon Products Incorporated Sr Unsecured 5. | 054303BA9 | N/A | $6,351.14 |
 |
| Mincor Resources Npv | 600052906 | MCR | $6,322.58 |
 |
| Erac Usa Finance LLC Company Guar 144a | 26884TAH5 | N/A | $6,287.42 |
 |
| Macquarie Gp Ltd Npv | B28YTC906 | MQG | $6,282.56 |
 |
| Santander Drive Auto Receivabl Sdart 2011 2 A3 | 80282RAC5 | N/A | $6,260.26 |
 |
| Silver Spring Networks Incorporated Common Stock Usd.001 | 82817Q103 | SSNI | $6,232.16 |
 |
| Western Gas Partners Fixed | 958254AA2 | N/A | $6,210.65 |
 |
| Daiichi Sankyo Com Npv | B0J7D9901 | N/A | $6,198.61 |
 |
| Lafarge Eur4 | 450270004 | LG | $6,194.84 |
 |
| Santos Limited | 677670002 | STO | $6,181.08 |
 |
| Csfb 2005-c1 A3 | 225458DK1 | N/A | $6,177.44 |
 |
| Fed Hm Ln Pc Pool U90923 | 3132H4AY7 | N/A | $6,144.93 |
 |
| Kone Corporation Npv Ord B | B09M9D905 | KNEBV | $6,123.57 |
 |
| Sands China Limited | B5B23W909 | N/A | $6,123.14 |
 |
| Insurance Aust Grp Npv | 627102908 | IAG | $6,110.79 |
 |
| Link Real Estate I Npv | B0PB4M906 | N/A | $6,086.36 |
 |
| Nokia Oyj Eur0.06 | 590294906 | N/A | $6,076.00 |
 |
| Renault (regie Nationale) Eur3.81 | 471279901 | RNO | $6,059.16 |
 |
| Metlife Incorporated Sr Unsecured 08/42 | 59156RBD9 | N/A | $6,023.04 |
 |
| Hang Seng Bank Hkd5 | 640837001 | N/A | $5,965.95 |
 |
| Federal Home Ln Mtg Corp Preassign 00073 | 31394JDA2 | N/A | $5,940.77 |
 |
| Arcelormittal Euro.01 | B03XPL901 | MT | $5,926.12 |
 |
| Amcor Limited Npv | 606660009 | AMC | $5,925.28 |
 |
| Prudential Financial Incorporated 05/41 Fixed | 74432QBS3 | N/A | $5,923.05 |
 |
| Reed Elsevier Nv Eur0.06 | 414881904 | REN | $5,888.34 |
 |
| Hong Kong Electric Hkd1 | 643532005 | N/A | $5,850.14 |
 |
| Federal National Mortgage Association | 3138W5M88 | N/A | $5,848.98 |
 |
| Apache Corporation Sr Unsecured 01/44 | 037411BC8 | N/A | $5,835.70 |
 |
| A P Moller Maersk Ser B Dkk1000 | 425304003 | N/A | $5,806.92 |
 |
| Wharf(hldgs) Hkd1 | 643557002 | N/A | $5,803.02 |
 |
| Boc Hong Kong Holdings Ltd Hkd5 | 653611905 | N/A | $5,791.84 |
 |
| Fed Hm Ln Pc Pool U50525 | 3132GHNR0 | N/A | $5,790.20 |
 |
| JC Penney Company Incorporated | 708160106 | JCP | $5,774.03 |
 |
| Danske Bank A/s Dkk10 | 458882909 | N/A | $5,755.42 |
 |
| Publicis Groupe SA Eur0.40 | 438042905 | PUB | $5,720.10 |
 |
| WI Treasury Sec | 912796AM1 | N/A | $5,719.96 |
 |
| Deutsche Boerse | 702196908 | N/A | $5,706.90 |
 |
| Federal National Mortgage Association | 31395NWV5 | N/A | $5,665.95 |
 |
| Dai Ichi Mutual Life Insuran Common Stock | B601QS905 | N/A | $5,615.89 |
 |
| Eisai CO Jpy50 | 630720001 | N/A | $5,538.70 |
 |
| Citigroup Incorporated 01/42 | 172967FX4 | N/A | $5,522.95 |
 |
| Porsche Automobil Holding Se Non Vtg Prf Npv | 710106907 | N/A | $5,510.12 |
 |
| Fed Hm Ln Pc Pool U90317 | 3132H3K69 | N/A | $5,505.72 |
 |
| Mitsui Sumitomo Gr Npv | B2Q4CS905 | N/A | $5,487.34 |
 |
| Federal Natl Mtg Assn Remic Remic Tr 1998 38 Cl Pl Po | 31359UT21 | N/A | $5,455.19 |
 |
| Washington Post Company Class B | 939640108 | WPO | $5,424.83 |
 |
| Next Group Ord Gbp0.10 | 320898901 | NXT | $5,395.94 |
 |
| Swisscom AG Chf1 (regd) | 553397902 | SCMN | $5,392.37 |
 |
| Nintendo CO Npv | 663955003 | N/A | $5,347.71 |
 |
| Jpmorgan Chase + CO Senior Notes 01/42 | 48126BAA1 | N/A | $5,320.66 |
 |
| INPEX Holdings Incorporated | B10RB1904 | N/A | $5,310.83 |
 |
| Federal National Mortgage Association | 31418APM4 | N/A | $5,299.22 |
 |
| Goldman Sachs Group Incorporated 02/41 Fixed | 38141GGM0 | N/A | $5,286.29 |
 |
| Carlsberg B Dkk20 | 416921005 | CARLB | $5,212.42 |
 |
| Kingfisher Ord Gbp0.157142857 | 331952903 | KGF | $5,196.58 |
 |
| Smith + Nephew Ord Usd0.20 | 092232909 | N/A | $5,188.97 |
 |
| Givaudan AG Chf10 | 598061901 | GIVN | $5,178.06 |
 |
| Keiyo Bank Jpy50 | 619064009 | N/A | $5,171.97 |
 |
| Henkel Ag+ CO Kgaa Npv (br) | 500246905 | HEN | $5,169.46 |
 |
| Technip Npv | 487416901 | TEC | $5,161.05 |
 |
| Legrand SA Eur4 | B11ZRK906 | LR | $5,147.57 |
 |
| Vr Qtr Slm Student Loan Trust | 78445CAB8 | N/A | $5,145.75 |
 |
| Safran SA Eur0.20 | B058TZ909 | SAF | $5,143.17 |
 |
| Secom CO Jpy50 | 679159004 | N/A | $5,105.35 |
 |
| Federal National Mortgage Association | 3138W7BN3 | N/A | $5,084.78 |
 |
| Associated British Foods PLC Ord Gbp0.05 15/22p | 067312900 | ABF | $5,057.04 |
 |
| Edion Corp Npv | 651271900 | N/A | $5,046.11 |
 |
| Toray Inds Incorporated Npv | 689714004 | N/A | $5,026.32 |
 |
| Jp Morgan Chase Commercial Mtg Sec | 46629PAB4 | N/A | $5,009.99 |
 |
| Asahi Kasei Corp Npv | 605460005 | N/A | $5,002.62 |
 |
| Atlas Copco Ab Ser B Npv (post Split) | B1QGR7900 | ATCOB | $4,960.90 |
 |
| Resona Holdings Incorporated Npv | 642155907 | N/A | $4,955.20 |
 |
| Park Sterling Corp Common Stock Usd.01 | 70086Y105 | PSTB | $4,932.22 |
 |
| Energy Transfer Partners Sr Unsecured 02/43 | 29273RAT6 | N/A | $4,909.30 |
 |
| Federal National Mortgage Association | 3138W4V81 | N/A | $4,888.50 |
 |
| Daikin Industries Jpy50 | 625072004 | N/A | $4,853.77 |
 |
| Fed Hm Ln Pc Pool U50533 | 3132GHNZ2 | N/A | $4,835.14 |
 |
| Daiwa House Inds Jpy50 | 625136007 | N/A | $4,834.02 |
 |
| Fed Hm Ln Pc Pool U89017 | 3132H1AT4 | N/A | $4,809.87 |
 |
| Federal National Mortgage Association | 3138W4Q46 | N/A | $4,808.35 |
 |
| Smc Corp Npv | 676396005 | N/A | $4,789.23 |
 |
| Merck Kgaa Ord Npv | 474184900 | MRK | $4,789.03 |
 |
| Ses Fdr Each Rep 1 A Npv | B00ZQQ907 | SESG | $4,772.08 |
 |
| Jfe Holding Incorporated Npv | 654379908 | N/A | $4,754.99 |
 |
| Swire Pacific A Hkd0.60 | 686774001 | N/A | $4,741.61 |
 |
| Orica Ltd Npv | 645800004 | ORI | $4,740.84 |
 |
| Asahi Breweries Npv | 605440007 | N/A | $4,739.71 |
 |
| Apollo Group Incorporated-Cl A | 037604105 | APOL | $4,670.54 |
 |
| Ace Ina Holdings Company Guar 03/43 | 00440EAQ0 | N/A | $4,667.83 |
 |
| Tenaris S.a. Usd1 | 753851906 | TEN | $4,665.53 |
 |
| Berkshire Hathaway Finance Corp | 084664BT7 | N/A | $4,639.43 |
 |
| Skf Ab Ser B Npv | B1Q3J3907 | SKFB | $4,631.89 |
 |
| Fed Hm Ln Pc Pool G01777 | 31283H6N0 | N/A | $4,611.56 |
 |
| De Master Blenders 1753 | ACI022F69 | DE | $4,608.01 |
 |
| Watson Pharmaceuticals I Sr Unsecured | 942683AG8 | N/A | $4,575.16 |
 |
| Ryosan CO Jpy50 | 676320005 | N/A | $4,568.13 |
 |
| Westfield Retail Trust Reit | ACI00C7S0 | WRT | $4,559.86 |
 |
| Autonation Incorporated | 05329W102 | AN | $4,542.00 |
 |
| Sumitomo Elec Inds Npv | 685870008 | N/A | $4,540.29 |
 |
| Standard Chartered PLC Subordinated 144a 01/43 | 853254AK6 | N/A | $4,513.90 |
 |
| Fortum Oyj Eur3.40 | 557955903 | N/A | $4,502.34 |
 |
| Burberry Group Ord Gbp.0005 | 317430908 | BRBY | $4,486.86 |
 |
| Fed Hm Ln Pc Pool U80255 | 3132G7H81 | N/A | $4,469.98 |
 |
| Transurban Group Stapled Units Npv | 620088906 | TCL | $4,457.44 |
 |
| Geberit New Ord Chf0.10 Regd Post Subd | B1WGG9901 | GEBN | $4,456.58 |
 |
| CS First Boston Mortgage Securities Corporation Series 2004-c5 Class A4 | 22541S2S6 | N/A | $4,434.41 |
 |
| Royal Bank of Scotland Group Common Stock Gbp1. | B7T772907 | RBS | $4,432.61 |
 |
| Agl Energy Npv | B0ZNPN904 | AGK | $4,426.55 |
 |
| Sodexo Eur4 | 706271905 | SW | $4,413.96 |
 |
| Kerry Group A Ord I0.10(dublin List) | 451957906 | KYG | $4,403.42 |
 |
| Fuji Film Hld Corp Npv | 635652001 | N/A | $4,395.66 |
 |
| Christian Dior Eur2 | 406139907 | CDI | $4,360.14 |
 |
| First Solar Incorporated | 336433107 | FSLR | $4,347.47 |
 |
| Osaka Gas CO Jpy50 | 666176003 | N/A | $4,330.86 |
 |
| Amadeus It Holding SA A Shs Common Stock | B3MSM2900 | AMS | $4,260.74 |
 |
| Coca Cola Amatil Npv(post Reconstruction) | 612345900 | CCL | $4,257.52 |
 |
| Li + Fung Hkd0.025 | 628625907 | N/A | $4,238.62 |
 |
| Alstom Eur7 | B0DJ8Q909 | ALO | $4,228.81 |
 |
| Infineon Technologies AG Ord Npv | 588950907 | IFX | $4,217.81 |
 |
| Stockland Reit | 685085003 | SGP | $4,209.65 |
 |
| Federal National Mortgage Association | 3138MHRF2 | N/A | $4,191.10 |
 |
| Hoya Corp Npv | 644150005 | N/A | $4,187.02 |
 |
| Northwest Bancshares Inc/md Common Stock | 667340103 | NWBI | $4,173.29 |
 |
| Intertek Group PLC Ord Gbp0.01 | 316383900 | ITRK | $4,167.84 |
 |
| Advanced Mirco Devices | 007903107 | AMD | $4,150.30 |
 |
| Galaxy Entertainme Hkd0.10 | 646587006 | N/A | $4,140.22 |
 |
| Julius Baer Group Ltd Common Stock | B4R2R5908 | BAER | $4,136.39 |
 |
| Fujitsu Npv | 635694003 | N/A | $4,120.11 |
 |
| Novozymes A/s B Shares Common Stock Dkk2. | B798FW902 | NZYMB | $4,094.54 |
 |
| Nikon Corp Npv | 664232006 | N/A | $4,066.11 |
 |
| Oriental Land CO Ltd Npv | 664889904 | N/A | $4,056.89 |
 |
| Luxottica Group Eur0.06 | 480065903 | LUX | $4,052.90 |
 |
| Fed Hm Ln Pc Pool U91152 | 3132HBEZ4 | N/A | $4,044.11 |
 |
| Saipem Eur1 | 476876008 | SPM | $4,034.10 |
 |
| Solvay Npv | 482110004 | SOLB | $4,030.06 |
 |
| K S AG Reg Common Stock Npv | ACI00RQT4 | SDF | $4,025.44 |
 |
| Sunoco Logistics Partner Company Guar 01/43 4.95 | 86765BAM1 | N/A | $3,985.85 |
 |
| Fed Hm Ln Pc Pool U91072 | 3132HBCH6 | N/A | $3,972.75 |
 |
| Thyssenkrupp AG Npv | 563692904 | TKA | $3,948.78 |
 |
| Alabama Power Company | 010392FJ2 | N/A | $3,938.86 |
 |
| Chubu Elec Power Npv | 619560006 | N/A | $3,917.79 |
 |
| Fuji Heavy Inds Npv | 635640006 | N/A | $3,909.36 |
 |
| Federal National Mortgage Association | 3138W66E1 | N/A | $3,906.47 |
 |
| Ageas Common Stock Npv | B86S2N903 | AGS | $3,900.06 |
 |
| Wpp Finance 2010 Company Guar 09/42 | 92936MAD9 | N/A | $3,892.78 |
 |
| Alfa Laval Ab Ord Sek10 | 733268908 | ALFA | $3,884.14 |
 |
| Boart Longyear Gr Npv | B1PPRK902 | BLY | $3,882.94 |
 |
| Aurizon Holdings Ltd Common Stock | B87CVM907 | AZJ | $3,881.06 |
 |
| Suzuki Motor Corporation | 686550005 | N/A | $3,870.64 |
 |
| Kb Home | 48666K109 | KBH | $3,861.24 |
 |
| AEON CO Ltd Npv | 648004000 | N/A | $3,844.03 |
 |
| Federal National Mortgage Association | 31402RDG1 | N/A | $3,819.27 |
 |
| Rakuten Incorporated Npv | 622959906 | N/A | $3,817.66 |
 |
| Snam Rete Gas Eur1 | 725147904 | SRG | $3,799.19 |
 |
| Lb UBS Commercial Mortgage Tru Lbubs 2004 C8 A6 | 52108HU77 | N/A | $3,794.10 |
 |
| Wartsila B Eur3.5 | 452518905 | N/A | $3,788.16 |
 |
| Goodman Group Npv(sapled Units) | B03FYZ909 | GMG | $3,777.71 |
 |
| Henderson Land Dev Hkd2 | 642053003 | N/A | $3,754.01 |
 |
| Fed Hm Ln Pc Pool U50486 | 3132GHMJ9 | N/A | $3,738.14 |
 |
| Slm Student Loan Trust Slma 2005 5 A3 | 78442GPP5 | N/A | $3,723.95 |
 |
| Federal National Mortgage Association | 3138ABCV9 | N/A | $3,705.88 |
 |
| Hang Lung Prop Hkd1 | 603050006 | N/A | $3,705.76 |
 |
| United Utilities G Ord Gbp0.05 | B39J2M903 | N/A | $3,668.06 |
 |
| Tokyu Corp Jpy50 | 689654002 | N/A | $3,661.74 |
 |
| Randgold Resources Ord Usd0.05 | B01C3S908 | RRS | $3,659.77 |
 |
| Adecco SA Chf1(regd) | 711072900 | ADEN | $3,654.06 |
 |
| Aggreko PLC Common Stock Gbp.370839 | B4WQ2Z900 | AGK | $3,652.72 |
 |
| Weir Group Ord 0.125 | 094658903 | WEIR | $3,649.54 |
 |
| Ajinomoto CO Incorporated Npv | 601090004 | N/A | $3,638.03 |
 |
| Nksj Holdings Incorporated Common Stock | B62G7K908 | N/A | $3,630.91 |
 |
| Aisin Seiki CO Jpy50 | 601070006 | N/A | $3,630.12 |
 |
| Mazda Motor Corp Npv | 690030002 | N/A | $3,622.22 |
 |
| Dassault Systemes Eur1 | 533004909 | DSY | $3,611.95 |
 |
| Schindler Hldg AG Ptg Cert Chf0.10(post Subd) | B11TCY906 | SCHP | $3,597.34 |
 |
| Energy Transfer Partners LP | 29273RAR0 | N/A | $3,592.40 |
 |
| Genting Singapore PLC Usd0.10 | 636679003 | GENS | $3,586.75 |
 |
| Itv Ord Gbp0.10 | 339864902 | ITV | $3,582.72 |
 |
| West Japan Railway Npv | 695799908 | N/A | $3,572.17 |
 |
| T+d Holdings Incorporated Npv | 674429907 | N/A | $3,537.39 |
 |
| Yahoo Japan Corp Jpy50000 | 608484903 | N/A | $3,531.99 |
 |
| Capitaland Sgd1 | 630930907 | CAPL | $3,528.77 |
 |
| Kansai Elec Power Npv | 648348001 | N/A | $3,520.80 |
 |
| Whitbread Ord Gbp0.76797385 | B1KJJ4906 | WTB | $3,502.78 |
 |
| Sumitomo Metal Mining | 685884009 | N/A | $3,498.41 |
 |
| Gemalto Eur1 | B011JK902 | GTO | $3,482.69 |
 |
| Nippon Building Fd Reit | 639680909 | N/A | $3,466.79 |
 |
| Kintetsu Corp Jpy50 | 649296001 | N/A | $3,461.53 |
 |
| Japan Real Estate Reit | 639758903 | N/A | $3,427.28 |
 |
| Bureau Veritas Eur0.12 | B28DTJ907 | BVI | $3,426.12 |
 |
| Electricite De France Subordinated 144a 12/49 Var | 268317AF1 | N/A | $3,421.27 |
 |
| Federal National Mortgage Association | 3138W4Q79 | N/A | $3,419.50 |
 |
| Fed Hm Ln Pc Pool U91033 | 3132HBBA2 | N/A | $3,402.81 |
 |
| Skanska Ab Ser B Sek3 | 714209905 | SKAB | $3,397.97 |
 |
| Cap Gemini Eur8 | 416343002 | CAP | $3,385.40 |
 |
| Scania Ab Ser B Npv | B1RDYG908 | SCVB | $3,366.25 |
 |
| Federal National Mortgage Association | 3138W4SP7 | N/A | $3,364.25 |
 |
| Sekisui House Npv | 679390005 | N/A | $3,358.79 |
 |
| Heineken Holding Eur1.6 | B0CCH4904 | HEIO | $3,352.94 |
 |
| Sage Group Ord Gbp0.01 | 080216906 | SGE | $3,340.57 |
 |
| Acergy S.a Com Usd2 | 525824900 | SUBC | $3,297.61 |
 |
| Nec Corp Npv | 664040003 | N/A | $3,292.93 |
 |
| Wolters Kluwer Eur0.12 | 567151907 | WKL | $3,292.35 |
 |
| Telecom Italia Eur.55 | 763439908 | TIT | $3,279.88 |
 |
| Asx Limited Npv | 612922906 | ASX | $3,279.69 |
 |
| Imi Ord Gbp0.25 | 045796000 | IMI | $3,279.05 |
 |
| Hirose Electric Jpy50 | 642872006 | N/A | $3,258.68 |
 |
| Hexagon Ab Ser B Npv (post Split) | B1XFTL901 | HEXAB | $3,235.48 |
 |
| Severn Trent Ord Gbp0.9789 | B1FH8J905 | SVT | $3,225.40 |
 |
| Kinder Morgan Ener Part Sr Unsecured 08/42 5. | 494550BN5 | N/A | $3,220.80 |
 |
| Bunzl Ord Gbp0.32142857 | B0744B906 | BNZL | $3,205.86 |
 |
| Rexam PLC Common Stock Gbp.142857 | ACI04MZX2 | REX | $3,182.17 |
 |
| Terumo Corp Jpy50 | 688507003 | N/A | $3,180.97 |
 |
| Federal Natl Mtg Assn Gtd Remi Preassign 00020 | 31392CAV6 | N/A | $3,177.83 |
 |
| New World Devel CO Hkd1 | 663376002 | N/A | $3,165.09 |
 |
| Swedish Match Npv | 504856907 | SWMA | $3,164.05 |
 |
| Tokyo Electron Jpy50 | 689567006 | N/A | $3,153.31 |
 |
| Cintra Conces Infr Eur0.2 | B03851902 | FER | $3,144.33 |
 |
| Yamato Holdings CO Ltd Npv | 698556008 | N/A | $3,138.55 |
 |
| Carnival PLC Ord Usd1.66 | 312152903 | CCL | $3,134.00 |
 |
| G4s PLC Ord Gbp0.25 | B01FLG907 | GFS | $3,108.41 |
 |
| Clean Energy Fuels Corporation | 184499101 | CLNE | $3,106.35 |
 |
| Orkla Asa Nok1.25(post Subdivision) | B1VQF4902 | ORK | $3,103.03 |
 |
| Gpe Bruxelles Lam Npv (new) | 709732903 | GBLB | $3,090.71 |
 |
| Odakyu Elec Rlwy Jpy50 | 665610002 | N/A | $3,082.18 |
 |
| Singapore Exchange Sgd0.01 | 630386902 | SGX | $3,078.93 |
 |
| Federal National Mortgage Association | 31402RDH9 | N/A | $3,076.14 |
 |
| Getinge Ab Ser B Sek0.50 | 769835901 | GETIB | $3,074.57 |
 |
| Electrolux Ab Ser B Npv (post Split) | B1KKBX907 | ELUXB | $3,066.38 |
 |
| Casino Guich Perr Eur1.53 | 417841004 | CO | $3,048.98 |
 |
| Federal Home Loan Mortgage Company | 3128LCHG4 | N/A | $3,048.69 |
 |
| Erste Group Bank AG Npv | 528983901 | EBS | $3,039.30 |
 |
| Coloplast B Common Stock Dkk1. | ACI04G724 | COLOB | $3,028.31 |
 |
| Abertis Infraestructuras SA Eur3 Rfd | 406566000 | ABE | $3,025.52 |
 |
| Resolution Ltd Common Stock Npv | B62W23906 | RSL | $3,005.38 |
 |
| Tate + Lyle Gbp 0.25 | 087541009 | TATE | $2,994.61 |
 |
| Hankyu Hanshin Hld Npv | 640866000 | N/A | $2,987.34 |
 |
| Isuzu Motors Limited | 646710004 | N/A | $2,987.34 |
 |
| Gkn Ord Gbp0.10 | 306465907 | GKN | $2,980.93 |
 |
| Asciano Group Npv(stapled) | B1YC5L903 | AIO | $2,978.91 |
 |
| Babcock Intl Group Gbp0.60 | 096970900 | BAB | $2,963.99 |
 |
| Nidec Corporation Jpy50 | 664068004 | N/A | $2,961.00 |
 |
| Croda Intl Ord Gbp0.10 | 023352008 | CRDA | $2,955.98 |
 |
| Dentsu Incorporated Npv | 641628904 | N/A | $2,948.36 |
 |
| Kuehne + Nagel AG Chf1(regd)(post Subd) | B142S6906 | KNIN | $2,947.04 |
 |
| Mitsubishi Chem Hl Npv | B0JQTJ900 | N/A | $2,937.29 |
 |
| Lanxess AG Npv | B05M8B904 | LXS | $2,936.70 |
 |
| Upm Kymmene Oy Npv | 505125906 | N/A | $2,933.16 |
 |
| Gas Natural Sdg Eur1 | 565042900 | GAS | $2,928.06 |
 |
| Elekta Ab Ser B Sek 2 | B0M42T902 | EKTAB | $2,903.19 |
 |
| Antofagasta Ord Gbp0.05 | 004561908 | ANTO | $2,895.71 |
 |
| Nelnet Student Loan Trust Nslt 2007 1 A1 | 64032EAA5 | N/A | $2,876.38 |
 |
| Fortescue Metal Group Npv | 608625901 | FMG | $2,872.75 |
 |
| Bank of Yokohama Jpy50 | 698644002 | N/A | $2,866.16 |
 |
| Mirvac Group Stapled Secs | 616197901 | MGR | $2,865.12 |
 |
| Gea Group AG Npv | 455710905 | N/A | $2,860.43 |
 |
| Red Electrica Corporacion Eur2 | 572377901 | REE | $2,857.17 |
 |
| Icl Israel Chem Ils1 | 645553900 | ICL | $2,854.97 |
 |
| Petrofac Ord Usd0.025 | B0H2K5904 | PFC | $2,840.15 |
 |
| Tobu Railway CO Jpy50 | 689516003 | N/A | $2,839.82 |
 |
| T.e.r.n.a Ord Eur0.22 | B01BN5908 | TRN | $2,838.96 |
 |
| Uni Charm Corp Npv | 691148001 | N/A | $2,829.28 |
 |
| Coca Cola Hell Bot Eur0.50(cb) | 442072005 | EEEK | $2,810.27 |
 |
| Aberdeen Asset Mgt Ord Gbp0.10 | 000312900 | ADN | $2,809.11 |
 |
| Kyowa Hakko Kirin CO Ltd Npv | 649955002 | N/A | $2,802.94 |
 |
| Federal National Mortgage Association | 3138W0M97 | N/A | $2,801.15 |
 |
| Edp Energias Portugal Eur1 (regd) | 410359905 | EDP | $2,799.15 |
 |
| Arkema Eur10 | B0Z5YZ906 | AKE | $2,797.42 |
 |
| Sonova Holding AG Chf0.05 | 715603908 | SOON | $2,796.87 |
 |
| Shizuoka Bank Jpy50 | 680532009 | N/A | $2,789.77 |
 |
| Elan Corp Ord Eur0.05 | 430550905 | ELN | $2,779.77 |
 |
| Wilmar Interl Ltd Sgd0.5 | B17KC6900 | WIL | $2,759.04 |
 |
| Tele2 Ab Ser B Sek1.25 | B08559906 | N/A | $2,753.21 |
 |
| Edenred Common Stock | B62G1B904 | EDEN | $2,743.02 |
 |
| Commerzbank AG Npv | 432553907 | CBK | $2,731.96 |
 |
| Sekisui Chemical Npv | 679382002 | N/A | $2,729.18 |
 |
| Toyota Industries Jpy50 | 690054002 | N/A | $2,722.59 |
 |
| Isetan Mitsukoshi Npv | B2Q4CL900 | N/A | $2,712.85 |
 |
| Accor Eur3 | 585284904 | AC | $2,696.34 |
 |
| Aryzta AG Chf0.02 | B39VJC900 | ARYN | $2,694.10 |
 |
| Umicore Npv | 400500005 | UMI | $2,690.84 |
 |
| Singapore Press HD SGD0.20 | B01289907 | SPH | $2,687.07 |
 |
| Sonic Healthcare Ltd Npv | 682112909 | SHL | $2,683.04 |
 |
| Ricoh CO Npv | 673822003 | N/A | $2,681.76 |
 |
| Hino Motors Npv | 642830004 | N/A | $2,676.49 |
 |
| Fed Hm Ln Pc Pool U90060 | 3132H3B51 | N/A | $2,664.53 |
 |
| Wheelock + CO Hkd0.50 | 698148004 | N/A | $2,641.95 |
 |
| Gpt Group Real Estate | 636586000 | GPT | $2,632.25 |
 |
| Midamerican Energy Holdings Company | 59562VAR8 | N/A | $2,630.36 |
 |
| Worleyparsons Limited Npv | 656247905 | WOR | $2,626.36 |
 |
| Hammerson PLC Ord Gbp0.25 | 040650004 | HMSO | $2,617.11 |
 |
| Keisei Elec Railwy Npv | 648742005 | N/A | $2,613.27 |
 |
| Dexus Property Gp Real Estate | B033YN903 | DXS | $2,612.66 |
 |
| Incitec Pivot Npv | 667304901 | IPL | $2,608.02 |
 |
| Mtr Corp Hkd1 | 629005901 | N/A | $2,602.81 |
 |
| Nokian Renkaat Oyj Npv | B07G37909 | N/A | $2,592.14 |
 |
| Singapore Tech Eng Sgd0.10 | 604321901 | STE | $2,585.10 |
 |
| Keihin Elec Exp Rl Jpy50 | 648730000 | N/A | $2,584.29 |
 |
| Kinnevik Inv Ab Ser B Sek0.1 | B00GC1909 | KINVB | $2,583.78 |
 |
| Crown Ltd Npv | B29LCJ906 | CWN | $2,578.68 |
 |
| Vallourec Usin A T Eur4 Post Subdivision | B197DR900 | VK | $2,574.81 |
 |
| Atlantia Eur1 | 766716906 | ATL | $2,569.07 |
 |
| Toyota Tsusho Corp Npv | 690058003 | N/A | $2,526.86 |
 |
| Bouygues Eur1 | 400212908 | EN | $2,515.64 |
 |
| Andritz AG Npv Br (post Split) | B1WVF6905 | ANDR | $2,512.30 |
 |
| Amec Ord Gbp0.50 | 002826006 | AMEC | $2,506.77 |
 |
| Omron Corp Npv | 665942009 | N/A | $2,497.36 |
 |
| Inmarsat Ord Eur0.000667 | B09LSH907 | ISAT | $2,480.25 |
 |
| Randstad Holding | 522865906 | RAND | $2,477.34 |
 |
| Sjm Holdings Ltd Hkd 1.00 | B2NR3Y904 | N/A | $2,476.47 |
 |
| Serco Group Ord Gbp0.02 | 079737003 | SRP | $2,468.84 |
 |
| Js Group Corp Npv | 690021001 | N/A | $2,465.74 |
 |
| Qiagen Nv Eur0.01 | 573282902 | QIA | $2,465.47 |
 |
| Stmicroelectronics Eur1.04 | 596233908 | STM | $2,464.19 |
 |
| Japan Retail Fund Japan Retail Fund Inv Reit | 651334906 | N/A | $2,455.21 |
 |
| Tonen Gen Sekiyu Jpy50 | 636600009 | N/A | $2,452.57 |
 |
| Takashimaya CO Jpy50 | 687040006 | N/A | $2,449.94 |
 |
| NTT Data Corp Jpy5000 | 612563908 | N/A | $2,445.99 |
 |
| Melrose Industries PLC Common Stock Gbp1.2 | B8L59D901 | MRO | $2,440.98 |
 |
| Banco Bpi SA Eur1 Regd | 572175909 | BPI | $2,438.95 |
 |
| Millicom Intl Cell Sdr Each Rep 1 Usd 1.50 | B00L2M903 | MIC | $2,436.30 |
 |
| Kuraray CO Npv | 649766003 | N/A | $2,435.98 |
 |
| Shiseido CO Jpy50 | 680526001 | N/A | $2,428.60 |
 |
| Fletcher Building Npv | 634160907 | FBU | $2,421.87 |
 |
| Bank of Kyoto Jpy50 | 607575008 | N/A | $2,420.96 |
 |
| Edf Eur0.5 | B0NJJ1901 | EDF | $2,420.53 |
 |
| Sika Ltd Chf28.20(br) | 480808906 | SIK | $2,409.57 |
 |
| 3i Group Ord Gbp0.738636 | B1YW44908 | III | $2,403.99 |
 |
| Computershare Reg Npv(post Rec) | 618041909 | CPU | $2,399.14 |
 |
| James Hardie Inds Npv Chess Eur0.5 | 641297908 | JHX | $2,390.63 |
 |
| Iliad Npv | 775943905 | ILD | $2,373.83 |
 |
| Bank of East Asia Hkd 2.50 | 607564002 | N/A | $2,373.50 |
 |
| Nippon Express CO Jpy50 | 664212008 | N/A | $2,370.91 |
 |
| Dai Nippon Printng Npv | 625090006 | N/A | $2,357.74 |
 |
| Swiss Life Holding AG Chf17(regd) | 743780900 | SLHN | $2,352.31 |
 |
| Olympus Corp Npv | 665880001 | N/A | $2,343.51 |
 |
| Eutelsat Commprom Eur1 | B0M7KJ907 | ETL | $2,343.19 |
 |
| Kawasaki Heavy Ind Npv | 648462000 | N/A | $2,339.30 |
 |
| Enagas SA Eur1.5 | 738307909 | ENG | $2,338.58 |
 |
| Dsv Dkk1 (post Subdivision) | B1WT5G909 | DSV | $2,336.20 |
 |
| Fiat SpA Eur5 | 574852901 | F | $2,334.97 |
 |
| Nutreco Holdings | 518335906 | NUO | $2,326.30 |
 |
| Sumitomo Chemical Npv | 685856007 | N/A | $2,323.49 |
 |
| Tokyu Land Corp Jpy50 | 689508000 | N/A | $2,323.49 |
 |
| Bk Leumi Le Israel Ord Ils1 | 607642907 | LUMI | $2,316.99 |
 |
| Osaka Securities Exchange CO Common Stock | 674388905 | N/A | $2,297.15 |
 |
| Iyo Bank Jpy50 | 646828004 | N/A | $2,294.51 |
 |
| Ramsay Health Care Npv | 604199901 | RHC | $2,293.36 |
 |
| Man Se Ord Npv | 556352904 | MAN | $2,292.80 |
 |
| Lundin Petroleum A Npv | 718762909 | LUPE | $2,291.14 |
 |
| Kyushu Elec Power Npv | 649980000 | N/A | $2,271.33 |
 |
| Swatch Group Chf 0.45 (regd) | 718473903 | UHRN | $2,265.24 |
 |
| City Developments Sgd 0.50 | 619792005 | CIT | $2,265.21 |
 |
| Lagardere Sca Eur6.10(regd) | 454721002 | MMB | $2,264.50 |
 |
| Ihi Corp Jpy50 | 646698001 | N/A | $2,252.36 |
 |
| Bco De Sabadell Eur0.125 (post Subdivision) | B1X8QN906 | SAB | $2,251.43 |
 |
| Apa Group Npv | 624730909 | APA | $2,245.11 |
 |
| Hutchison Port Holdings Trst Unit Npv | B56ZM7906 | HPHT | $2,234.33 |
 |
| Swiss Prime Site Chf18.80 (reg) | B083BH906 | SPSN | $2,228.37 |
 |
| Toto Jpy50 | 689746006 | N/A | $2,218.12 |
 |
| Veolia Environnement Eur5.00 | 403187909 | VIE | $2,217.25 |
 |
| Tatts Group Ltd Npv | B0CRCP909 | TTS | $2,217.20 |
 |
| Chugai Pharm CO Npv | 619640006 | N/A | $2,204.42 |
 |
| Deutsche Lufthansa Ord Npv (regd)(vink) | 528748908 | LHA | $2,203.51 |
 |
| Semt 2011 1 A1 03/41 Fixed | 81744RAA9 | N/A | $2,203.45 |
 |
| Get SA Eur0.40 (post Cons) | B292JQ905 | GET | $2,200.48 |
 |
| Makita Corp Npv | 655580009 | N/A | $2,197.04 |
 |
| Toll Hldgs Limited Npv | 669374902 | TOL | $2,187.88 |
 |
| Prysmian SpA Npv | B1W4V6907 | PRY | $2,178.53 |
 |
| Cfs Retail Prop Npv | 636137903 | CFX | $2,169.77 |
 |
| Jeronimo Martins Sgps Eur1(post Subdivision) | B1Y1SQ901 | JMT | $2,159.08 |
 |
| Admiral Group Ord Gbp0.001 | B02J63904 | ADM | $2,143.10 |
 |
| Keio Corp Jpy50 | 648736007 | N/A | $2,125.91 |
 |
| Daito Trust Const Jpy50 | 625050000 | N/A | $2,123.28 |
 |
| Swire Properties Ltd Common Stock Hkd1. | B67C2G906 | N/A | $2,112.28 |
 |
| Global Logistic Properties L Common Stock Npv | B4KJWS902 | GLP | $2,095.27 |
 |
| Ascendas Real Esta Npv (reit) | 656387909 | AREIT | $2,079.28 |
 |
| Distribuidora Internacional Common Stock | ACI00NNS8 | DIA | $2,077.19 |
 |
| Panoramic Resources Ltd Common Stock | 640566907 | PAN | $2,069.82 |
 |
| Mitsubishi Motor Jpy50 | 659844005 | N/A | $2,065.32 |
 |
| Klepierre Eur4 | 758255905 | LI | $2,055.43 |
 |
| Sembcorp Industrie Sgd0.25 (post Reorg) | B08X16905 | SCI | $2,054.53 |
 |
| Iluka Resources Npv | 695757005 | ILU | $2,051.95 |
 |
| Cochlear Ltd Npv | 621179902 | COH | $2,038.09 |
 |
| Galp Energia Eur1 | B1FW75903 | GALP | $2,035.46 |
 |
| Sulzer AG Chf0.01(regd) | 485471007 | SUN | $2,033.82 |
 |
| Norsk Hydro Asa Nok1.0980 | B11HK3901 | NHY | $2,023.23 |
 |
| Jsr Corp Jpy50 | 647098003 | N/A | $2,023.18 |
 |
| Shimano Incorporated Jpy50 | 680482007 | N/A | $2,023.18 |
 |
| Fugro Nv Eur0.05 | B096LW904 | FUR | $2,003.99 |
 |
| Yamaha Motor CO Npv | 698526001 | N/A | $2,001.05 |
 |
| Yakult Honsha CO Jpy50 | 698511003 | N/A | $1,996.83 |
 |
| Treasury Wine Estates Ltd Common Stock | B61JC6908 | TWE | $1,987.68 |
 |
| Belgacom SA Npv | B00D9P907 | BELG | $1,985.21 |
 |
| Bco Popular Esp Eur0.10 (post Subd) | B0BV6K909 | POP | $1,982.85 |
 |
| Wynn Macau Ltd Common Stock | B4JSTL903 | N/A | $1,982.17 |
 |
| Noble Group Limited | B01CLC903 | NOBL | $1,968.59 |
 |
| Boral Limited New Npv | 621867902 | BLD | $1,957.34 |
 |
| Capitamall Trust Npv (reit) | 642012900 | CT | $1,951.38 |
 |
| Telecom Corporation of New Zealand | 688143007 | TEL | $1,946.46 |
 |
| Chugoku Elec Power Npv | 619590003 | N/A | $1,939.40 |
 |
| Suez Environnement Eur4 | B3B8D0900 | SEV | $1,938.66 |
 |
| Fresnillo PLC Ord Usd0.50 | B2QPKJ909 | FRES | $1,936.46 |
 |
| Investec Ord Gbp0.0002 | B17BBQ907 | INVP | $1,933.59 |
 |
| Daicel Chem Inds Jpy50 | 625054002 | N/A | $1,930.97 |
 |
| Enteromedics Incorporated Wts Call Exp | 29365M117 | N/A | $1,922.64 |
 |
| Invensys Ord Gbp0.10 | B19DVX904 | ISYS | $1,920.59 |
 |
| Als Ltd Common Stock Npv | B86SZR908 | ALQ | $1,916.59 |
 |
| Japan Prime Realty Reit | 652817909 | N/A | $1,915.17 |
 |
| Lindt + Spruengli Ptg Cert Chf10 | 596228908 | LISP | $1,908.53 |
 |
| Colruyt SA Common Stock Npv | ACI009ZR8 | COLR | $1,906.72 |
 |
| Telecom Italia Di Risp Eur. 55 | 763440906 | TITR | $1,906.66 |
 |
| Tdc A/s Dkk5 | 569879901 | TDC | $1,905.37 |
 |
| Nippon Yusen Kk Npv | 664396009 | N/A | $1,904.63 |
 |
| Lawson Jpy50 | 626691901 | N/A | $1,902.00 |
 |
| Schroders New Ord Gbp1.0 | 024054900 | SDR | $1,898.36 |
 |
| Mitsubishi Tanabe Pharma Corp Jpy50 | 687098004 | N/A | $1,896.73 |
 |
| Tokyo Elec Power Npv | 689540003 | N/A | $1,894.62 |
 |
| Wendel Eur4 | 739011906 | MF | $1,889.57 |
 |
| Nsk Jpy50 | 664154002 | N/A | $1,878.29 |
 |
| Atos Origin Eur1 | 565478906 | ATO | $1,877.36 |
 |
| Cgg Veritas Eur0.40 | 421539008 | CGG | $1,876.60 |
 |
| Lonza Group AG Chf1 Regd | 733337901 | LONN | $1,866.63 |
 |
| Oji Paper CO Jpy50 | 665770004 | N/A | $1,854.58 |
 |
| A P Moller Maersk Ser A Dkk1000 | 425305000 | N/A | $1,853.78 |
 |
| Credit Saison CO Jpy50 | 659180004 | N/A | $1,852.47 |
 |
| Intl Consolidated Airlines Common Stock Eur.5 | B5M6XQ908 | IAG | $1,848.96 |
 |
| London Stock Exchange Group Ord Gbp0.06918604 | B0SWJX907 | LSE | $1,845.37 |
 |
| Stora Enso Oyj Npv Ser R | 507267904 | STERV | $1,829.39 |
 |
| Immofinanz AG Npv | 567991906 | IIA | $1,827.94 |
 |
| Nomura Real Estate (reit) | 671821908 | N/A | $1,822.96 |
 |
| Bayer Motoren Werk Non Vtg Prf Eur1 | 575603907 | N/A | $1,805.93 |
 |
| Konica Minolta Holdings Incorporated Npv | 649670007 | N/A | $1,804.52 |
 |
| Natixis Eur1.6 (post Subdiv) | B1HDJL905 | KN | $1,793.66 |
 |
| Gjensidige Forsikring Asa Common Stock Nok2. | B4PH0C901 | GJF | $1,787.67 |
 |
| Toppan Printing CO Jpy50 | 689702009 | N/A | $1,780.82 |
 |
| Partners Group Holding AG Chf0.01 (regd) | B119QG904 | PGHN | $1,774.97 |
 |
| Enel Green Power SpA Common Stock | B4TWTW909 | EGPW | $1,774.19 |
 |
| Tohoku Elec Power Npv | 689526002 | N/A | $1,773.44 |
 |
| Sembcorp Marine Sgd0.10 | 620513903 | SMM | $1,771.39 |
 |
| Bacm_04-6 | 05947UB56 | N/A | $1,769.74 |
 |
| Elec Power Dev Npv | B02Q32903 | N/A | $1,765.11 |
 |
| Rinnai Corp Jpy50 | 674058003 | N/A | $1,762.37 |
 |
| Federal Home Loan Mortgage Company | 31395UEG2 | N/A | $1,756.43 |
 |
| Taisho Pharmaceutical Holdin Common Stock | B3QX5G903 | N/A | $1,751.84 |
 |
| Namco Bandai Hldgs Npv | B0JDQD905 | N/A | $1,749.20 |
 |
| Fed Hm Ln Pc Pool U91180 | 3132HBFV2 | N/A | $1,744.61 |
 |
| Federal National Mortgage Association | 3138W64B9 | N/A | $1,743.25 |
 |
| Tdk Corp Npv50 | 686930009 | N/A | $1,730.76 |
 |
| Rohm CO Npv | 674720008 | N/A | $1,714.96 |
 |
| Cheung Kong Infras Hkd1 | 621255900 | N/A | $1,701.13 |
 |
| Shinsei Bank Npv | 673093902 | N/A | $1,699.15 |
 |
| Mitsubishi Ufj Lease + Fin Npv | 626897003 | N/A | $1,681.50 |
 |
| Koninklijke Kpn Nv Eur0.24 | 595607904 | KPN | $1,661.55 |
 |
| Ubi Banca Ord Eur2.50 | 762222909 | UBI | $1,641.71 |
 |
| Acs Actividades CO Euro.5 | B01FLQ905 | ACS | $1,637.71 |
 |
| Amada CO Npv | 602210007 | N/A | $1,635.93 |
 |
| Mitsubishi Gas Chm Npv | 659692008 | N/A | $1,633.29 |
 |
| Nisshin Seifun Grp Jpy50 | 664096005 | N/A | $1,633.29 |
 |
| Schindler Hldg AG Chf0.1(regd)(postsubd) | B11WWH904 | SCHN | $1,627.03 |
 |
| Kerry Properties Hkd1 | 648631901 | N/A | $1,624.41 |
 |
| Hargreaves Lansdown PLC Common Stock Gbp.004 | B1VZ0M908 | N/A | $1,622.23 |
 |
| Leighton Holdings Npv | 651122004 | LEI | $1,590.96 |
 |
| Aker Solution Asa Nok2 (post Subdivision) | B1VLVW903 | AKSO | $1,590.76 |
 |
| Corio Nv Real Estate | 492928007 | CORA | $1,584.98 |
 |
| Toho Gas CO Jpy50 | 689522001 | N/A | $1,575.34 |
 |
| Caltex Australia Npv | 616150009 | CTX | $1,565.50 |
 |
| Golden Agri Resour Usd 0.10 | 616447900 | GGR | $1,565.45 |
 |
| Portugal Tcom Sgps Eur0.03(regd) | 581718905 | PTC | $1,562.37 |
 |
| Boskalis Westminster Cva Eur0.80 (post Subd) | B1XF88903 | BOKA | $1,556.47 |
 |
| Petroquest Energy Incorporated | 716748108 | PQ | $1,547.66 |
 |
| J Front Retailing Npv | B23TC1904 | N/A | $1,542.67 |
 |
| Securitas Ser B Sek1 | 555404904 | SECUB | $1,538.53 |
 |
| Prosiebensat1 Media AG Npv Pref | 457913903 | PSM | $1,531.55 |
 |
| Comfortdelgro Corp Sgd0.25 | 660373903 | CD | $1,527.47 |
 |
| Bic Eur3.82 | 529878902 | BB | $1,526.22 |
 |
| Sysmex Corp Jpy50 | 688380906 | N/A | $1,506.84 |
 |
| Segro PLC Reit | B5ZN1N909 | SGRO | $1,504.37 |
 |
| Liberty International Ord Gbp0.50 | 068343904 | INTU | $1,498.97 |
 |
| Grifols SA B Common Stock | B3Y5WX908 | N/A | $1,490.43 |
 |
| Lb-ubs Commercial Mortgage Trust Series 2004-c7 Class A5 | 52108HP65 | N/A | $1,479.39 |
 |
| Hachijuni Bank Npv | 640062006 | N/A | $1,477.87 |
 |
| Gunma Bank Jpy50 | 639808005 | N/A | $1,475.23 |
 |
| Fed Hm Ln Pc Pool U90237 | 3132H3HN6 | N/A | $1,472.30 |
 |
| Suedzucker AG Npv | 578446908 | SZU | $1,466.37 |
 |
| Marin Software Incorporated Common Stock Usd.001 | 56804T106 | MRIN | $1,462.43 |
 |
| Kobe Steel Npv | 649602000 | N/A | $1,448.89 |
 |
| Hugo Boss AG Ord Common Stock | ACI0232I5 | BOSS | $1,445.02 |
 |
| Kaneka Corp Npv | 648336006 | N/A | $1,427.81 |
 |
| Fed Hm Ln Pc Pool U90150 | 3132H3EX7 | N/A | $1,424.92 |
 |
| Elisa Corporation Ser A Eur0.5 | 570151902 | N/A | $1,423.27 |
 |
| Mediobanca SpA Eur0.5 | 457481000 | MB | $1,420.99 |
 |
| Tnt Express Nv W/i Common Stock Eur.08 | ACI00KYP8 | TNTE | $1,408.66 |
 |
| Semt 2010 H1 A1 02/40 Fixed 3.75 | 81744PAA3 | N/A | $1,405.05 |
 |
| Alumina Limited Npv | 695498006 | AWC | $1,403.43 |
 |
| Criteria Caixacorp Eur1 | B283W9907 | CABK | $1,402.30 |
 |
| Mitsubishi Materl Npv | 659708002 | N/A | $1,396.20 |
 |
| Uol Group Ltd Sgd1 | 691684005 | UOL | $1,395.51 |
 |
| Trend Micro Incorporated Npv | 612528901 | N/A | $1,386.19 |
 |
| Joyo Bank Jpy50 | 647976000 | N/A | $1,377.76 |
 |
| Taisei Corp Jpy50 | 687010009 | N/A | $1,375.13 |
 |
| Federation Centres Reit | B9510B909 | FDC | $1,372.20 |
 |
| Wing Hang Bank Ltd Hkd1 | 697237907 | N/A | $1,370.49 |
 |
| Dena CO Ltd Npv | B05L36902 | N/A | $1,348.78 |
 |
| Remy Cointreau SA Eur1.60 | 474171006 | RCO | $1,347.02 |
 |
| Alfresa Holdings C Npv | 668721905 | N/A | $1,346.15 |
 |
| First Pacific CO Usd0.01 | 633987003 | N/A | $1,344.30 |
 |
| Kajima Corp Jpy50 | 648132009 | N/A | $1,343.51 |
 |
| Echo Entertainment Group Ltd Common Stock | B3SVQF904 | EGP | $1,339.66 |
 |
| Hisamitsu Pharm CO Npv | 642890008 | N/A | $1,338.25 |
 |
| Gecina Real Estate | 774246904 | GFC | $1,323.62 |
 |
| Tabcorp Hldgs Ltd Npv | 687326900 | TAH | $1,322.64 |
 |
| Dainippon Sumitomo Npv | 625086004 | N/A | $1,313.48 |
 |
| Japan Steel Works Jpy50 | 647068006 | N/A | $1,306.63 |
 |
| Singapore Airlines Limited | 681173001 | SIA | $1,303.95 |
 |
| Jupiter Telecomm Npv | 630195907 | N/A | $1,299.26 |
 |
| Bezek Israel Telcm Ils1 | 609803903 | BEZQ | $1,296.76 |
 |
| Stanley Electric Jpy50 | 684110000 | N/A | $1,282.66 |
 |
| Marui Group CO Ltd Npv | 656952009 | N/A | $1,281.61 |
 |
| Nomura Research Incorporated Npv | 639092907 | N/A | $1,279.24 |
 |
| Brother Industries Jpy50 | 614650000 | N/A | $1,273.70 |
 |
| Orion Corporation Ser B Npv | B17NY4905 | ORNBV | $1,270.10 |
 |
| Ems Chemie Hldg AG Chf0.01(regd)(post Recon) | 763561909 | EMSN | $1,267.87 |
 |
| Capitacommercial Npv (reit) | B011YD901 | CCT | $1,267.56 |
 |
| Adp Promesses Eur3 | B164FY903 | ADP | $1,262.04 |
 |
| Balfour Beatty Ord Gbp0.50 | 009616004 | BBY | $1,261.62 |
 |
| Icap Ord Gbp0.10 | 338721905 | IAP | $1,260.55 |
 |
| Jardine Cycle & Carriage Limited | 624226007 | JCNC | $1,247.14 |
 |
| Tui Travel PLC Ord Gbp0.10 | B1Z7RQ908 | N/A | $1,241.58 |
 |
| Hkt Trust And Hkt Ltd Misc. Hkd.0005 | B4TXDZ907 | N/A | $1,241.11 |
 |
| Sumitomo Rubber Npv | 685899007 | N/A | $1,240.77 |
 |
| Mapfre SA Eur0.10 | B1G40S901 | MAP | $1,233.91 |
 |
| Capitamalls Asia Ltd Common Stock | B442NY904 | CMA | $1,229.57 |
 |
| William Demant Hol Dkk1 | 596154906 | WDH | $1,225.79 |
 |
| Asics Corp Jpy50 | 605737006 | N/A | $1,223.39 |
 |
| Banco Popolare Eur3.60 | B1Z9G8906 | BP | $1,201.76 |
 |
| Hiroshima Bank Jpy50 | 607572005 | N/A | $1,195.99 |
 |
| Rexel Promesses Eur5 | B1VP0K904 | RXL | $1,190.61 |
 |
| Taiheiyo Cement Jpy50 | 666020003 | N/A | $1,185.45 |
 |
| Obayashi Corp Jpy50 | 665640009 | N/A | $1,182.82 |
 |
| Husqvarna Ab Ser B Npv | B12PJ2906 | HUSQB | $1,178.18 |
 |
| Hochtief AG Npv | 510866908 | HOT | $1,177.43 |
 |
| Auckland Intl Airport Ltd Npv | 612370908 | AIA | $1,173.22 |
 |
| Jtekt Corporation Npv | 649708005 | N/A | $1,165.70 |
 |
| Delta Lloyd Nv Common Stock | B574ZG900 | DL | $1,165.38 |
 |
| Sankyo CO Npv | 677543001 | N/A | $1,159.11 |
 |
| Utd Internet AG Npv(regd) | 435413901 | UTDI | $1,157.79 |
 |
| Santen Pharm CO Jpy50 | 677660003 | N/A | $1,147.25 |
 |
| Imerys Eur2 | B011GL903 | NK | $1,146.30 |
 |
| Teijin Npv | 688050004 | N/A | $1,143.30 |
 |
| Nissin Foods Holdings CO Ltd Npv | 664176005 | N/A | $1,136.72 |
 |
| Nws Holdings Ltd Hkd1 | 656835907 | N/A | $1,136.41 |
 |
| Meiji Holdings CO Npv | B60DQV902 | N/A | $1,134.08 |
 |
| Shangri La Asia Ltd Hkd1 | 677103905 | N/A | $1,132.86 |
 |
| Familymart CO Jpy50 | 633127006 | N/A | $1,131.45 |
 |
| Nice Systems Ils1 | 664713906 | NICE | $1,130.26 |
 |
| Fonciere Des Regio Eur2 | 774563902 | FDR | $1,126.13 |
 |
| Hysan Development Hkd5 | 644962003 | N/A | $1,118.30 |
 |
| Oracle Corp Japan Npv | 614168904 | N/A | $1,115.64 |
 |
| Showa Denko Kk Npv | 680546009 | N/A | $1,114.33 |
 |
| Mellanox Technologies Ltd Common Stock Ils.0175 | B23609900 | MLNX | $1,109.96 |
 |
| Nomura Rl Est Incorporated Npv | B1CWJM906 | N/A | $1,106.42 |
 |
| Sony Financial Hol Npv | B249SN902 | N/A | $1,106.42 |
 |
| Kurita Water Inds Jpy50 | 649796000 | N/A | $1,097.47 |
 |
| Don Quijote Npv | 626986905 | N/A | $1,097.20 |
 |
| Sanrio CO Npv | 677634008 | N/A | $1,097.20 |
 |
| Sp Ausnet Npv(stapled Units) | B0RF60901 | SPN | $1,095.61 |
 |
| Asm Pacific Tech Hkd 0.10 | 600245005 | N/A | $1,090.00 |
 |
| Pirelli + CO SpA Euro 0.29 | 468980008 | PC | $1,087.57 |
 |
| Industrivarden Ab Ab Ser C Npv | B1VSK5909 | INDUC | $1,078.67 |
 |
| Mitsui Chemicals I Npv | 659736003 | N/A | $1,074.81 |
 |
| Cnp Assurances Eur4 | 554398909 | CNP | $1,068.51 |
 |
| Icade Npv | 455440909 | ICAD | $1,062.60 |
 |
| Zardoya Otis Eur0.1 | 577090905 | ZOT | $1,060.95 |
 |
| Hitachi Const Mach Npv | 642940001 | N/A | $1,059.00 |
 |
| Shikoku Elec Power Jpy500 | 680434008 | N/A | $1,057.43 |
 |
| Pohjola Bank PLC Npv Ser A | 566523908 | N/A | $1,056.19 |
 |
| Sky City Entertainment Ltd Npv | 682319900 | SKC | $1,055.93 |
 |
| Benesse Holdings Incorporated Jpy50 | 612192906 | N/A | $1,053.74 |
 |
| Ratos Ab Ser B Sek12.50 | B130WD901 | RATOB | $1,050.64 |
 |
| Mgm China Holdings Ltd Common Stock | B4P8HQ902 | N/A | $1,050.54 |
 |
| Advantest Jpy50 | 687049007 | N/A | $1,043.20 |
 |
| Fraport AG Npv | 710755901 | FRA | $1,042.44 |
 |
| Medipal Holdings Corp Npv | 678209909 | N/A | $1,040.83 |
 |
| Toho CO Jpy500 | 689520005 | N/A | $1,034.77 |
 |
| Gs Yuasa Corp Npv | 674425905 | N/A | $1,032.66 |
 |
| Nhk Spring CO Jpy50 | 661964007 | N/A | $1,031.61 |
 |
| Sims Metal Management Ltd Npv | B0LCW7900 | SGM | $1,028.08 |
 |
| Qantas Airways Npv | 671034908 | QAN | $1,023.12 |
 |
| Toyo Seikan Kaisha Npv | 690026000 | N/A | $1,022.65 |
 |
| All Nippon Airways Jpy50 | 601490006 | N/A | $1,022.12 |
 |
| Bco Espir Santo Eur3.00 | 405806902 | BES | $1,020.25 |
 |
| Shoei Company Jpy50 | 680531902 | N/A | $1,016.85 |
 |
| Nabtesco Corp Npv | 668757909 | N/A | $1,012.64 |
 |
| Hokkaido Elec Pwr Npv | 643132004 | N/A | $1,011.59 |
 |
| Finmeccanica SpA Eur 4.40 | B0DJNG904 | FNC | $1,008.47 |
 |
| Hopewell Hldgs Hkd2.50 | 614029908 | N/A | $1,004.71 |
 |
| Sbi Holdings Incorporated Npv | 630946903 | N/A | $1,003.61 |
 |
| Flight Centre Ltd Npv | 635214901 | FLT | $997.64 |
 |
| Yokogawa Electric Npv | 698642006 | N/A | $990.51 |
 |
| Konami Corp Jpy50 | 649668001 | N/A | $987.88 |
 |
| Trygvesta A/s Dkk25.00 | B0LL2W908 | TRYG | $980.64 |
 |
| Hamamatsu Photonic Npv | 640587002 | N/A | $978.66 |
 |
| Thk CO Jpy50 | 686913005 | N/A | $977.87 |
 |
| Sumitomo Heavy | 685873002 | N/A | $977.34 |
 |
| Ube Industries Jpy50 | 691070007 | N/A | $974.71 |
 |
| Park 24 CO Jpy50 | 666773908 | N/A | $969.44 |
 |
| Casio Computer CO Npv | 617896006 | N/A | $965.49 |
 |
| Keppel Land Ltd Sgd0.50 | 685346009 | KPLD | $960.24 |
 |
| Barry Callebaut AG Chf92.20 (regd) | 547692905 | BARN | $956.62 |
 |
| Nitori CO Jpy50 | 664480902 | N/A | $954.95 |
 |
| Hakuhodo Dy Hldgs Npv | B05LZ0900 | N/A | $951.00 |
 |
| Olam International Ord Sgd0.1 | B05Q3L908 | OLAM | $946.70 |
 |
| The Israel Corpora Ord Ils1 | 688967900 | ILCO | $940.82 |
 |
| Vienna Insurance Group Npv (br) | B0BKSS902 | VIG | $936.74 |
 |
| Oz Minerals Ltd Npv | 639782903 | OZL | $924.77 |
 |
| Contact Energy Npv | 615252905 | CEN | $921.31 |
 |
| Pccw Limited Hkd0.25 | 657407904 | N/A | $917.40 |
 |
| Hokuriku Elec Pwr Jpy500 | 643312002 | N/A | $915.96 |
 |
| Pargesa Hldgs SA Chf20(br)(post Subd) | B0CDLF902 | PARG | $909.15 |
 |
| Tsumura + CO Jpy50 | 690691001 | N/A | $904.90 |
 |
| JC Decaux SA Npv | 713666907 | DEC | $903.90 |
 |
| Enteromedics Incorporated Wts Call Exp 12/99 | 29399M919 | N/A | $901.78 |
 |
| Federal National Mortgage Association | 31385W2S7 | N/A | $901.17 |
 |
| Suzuken CO Ltd Jpy50 | 686556903 | N/A | $896.99 |
 |
| Bear Stearns Coml Mtg Secs Incorporated 2005 Pwr7 Mtg Passthru Ctf A | 07383F3X4 | N/A | $893.27 |
 |
| NTT Urban Developm Npv | B031SG909 | N/A | $891.46 |
 |
| Denki Kagaku Kogyo Npv | 630982007 | N/A | $890.41 |
 |
| Neste Oil Oyj Npv | B06YV4907 | N/A | $888.15 |
 |
| Opap (org of Footb) Eur0.30 (cr) | 710725904 | OPAP | $887.03 |
 |
| Eurazeo Npv | 704239904 | RF | $880.04 |
 |
| Exor SpA Eur1 | B06HZC902 | EXO | $879.67 |
 |
| Showa Shell Sekiyu Jpy50 | 680554003 | N/A | $875.92 |
 |
| Starhub Ltd Npv | B1CNDB906 | STH | $869.70 |
 |
| Raiffeisen Intl Bk Npv (regd) | B0704T905 | RBI | $868.14 |
 |
| Axel Springer AG Npv | 464731900 | SPR | $848.93 |
 |
| Cathay Pacific Air Hkd0.20 | 617975008 | N/A | $848.49 |
 |
| Rwe AG (neu) Non Vtg Pfd Npv | 476914908 | N/A | $844.95 |
 |
| Ryanair Holdings PLC | 783513104 | RYAAY | $839.22 |
 |
| Sumco Corpoation Npv | B0M0C8905 | N/A | $837.72 |
 |
| Delek Group Ils1 | 621964907 | DLEKG | $835.28 |
 |
| Peugeot SA Eur1 | 710352907 | UG | $831.55 |
 |
| Bqe Cant Vaudoise Ch20.0(regd) | 752079905 | BCVN | $830.71 |
 |
| Celesio AG Npv | 510518905 | N/A | $828.93 |
 |
| Fed Hm Ln Pc Pool U62228 | 3132HXHD2 | N/A | $816.75 |
 |
| Telekom Austria Npv | 463508903 | TKA | $815.24 |
 |
| Morgan Stanley Mortgage Loan Trust Series 2007-6xs Class 2a1s | 61751JAF8 | N/A | $812.08 |
 |
| Shimizu Corp Npv | 680440005 | N/A | $811.38 |
 |
| Kesko Oyj Npv Ser B | 449000900 | KESBV | $790.16 |
 |
| Vedanta Resources Ord Usd0.10 | 332770908 | VED | $787.66 |
 |
| Salzgitter AG Ord Npv | 546535907 | SZG | $786.40 |
 |
| Harvey Norman Hldg Npv Com | 617350905 | HVN | $785.21 |
 |
| Yangzijiang Shipbu Npv | B1VT03904 | YZJ | $775.73 |
 |
| Nippon Paper Group Incorporated Npv | 633478904 | N/A | $772.39 |
 |
| Ibiden CO Npv | 645610007 | N/A | $772.39 |
 |
| Nishi Nippon City Npv | 663972008 | N/A | $763.96 |
 |
| Citizen Holdings CO Ltd Npv | 619730005 | N/A | $757.11 |
 |
| Hitachi Chemical Npv | 642912000 | N/A | $755.53 |
 |
| AEON Mall CO Npv | 653420901 | N/A | $754.48 |
 |
| Oest Elektrizitats Class A Npv | 466160009 | VER | $741.79 |
 |
| Fuji Electric Hldg Npv | 635636004 | N/A | $724.44 |
 |
| Yamaha Corp Npv | 664238003 | N/A | $720.75 |
 |
| Nok Corp Jpy 50 | 664242005 | N/A | $712.85 |
 |
| AEON Credit Serv Jpy50 | 603773904 | N/A | $701.26 |
 |
| Monte Paschi Siena Eur0.67 | 712854900 | BMPS | $696.34 |
 |
| Mizrahi Tefahot Bank Ils0.01 | 691670004 | MZTF | $687.75 |
 |
| Yamato Kogyo CO Npv | 698544004 | N/A | $676.23 |
 |
| Mcdonalds Holdings CO Npv | 637186909 | N/A | $667.54 |
 |
| Fed Hm Ln Pc Pool G11344 | 31283KP51 | N/A | $645.81 |
 |
| Kazakhmys Ord Gbp0.20 | B0HZPV909 | KAZ | $641.70 |
 |
| Intesa Sanpaolo Di Risp Eur0.52 (non Cnv) | 407684000 | ISPR | $641.21 |
 |
| Seven Bank Npv | B2NT8S908 | N/A | $636.46 |
 |
| Gree Incorporated Npv | B3FJNX909 | N/A | $622.76 |
 |
| Toyoda Gosei Jpy50 | 690055009 | N/A | $592.99 |
 |
| Maruichi Stl Tube Jpy50 | 656950003 | N/A | $576.66 |
 |
| Premier Foods PLC Common Stock Gbp.1 | B7N0K0907 | PFD | $559.77 |
 |
| Federal Home Ln Mtg Corp Preassign 00764 | 31392UZ56 | N/A | $556.65 |
 |
| Evraz PLC Common Stock Usd1. | B71N6K903 | EVR | $555.43 |
 |
| Furukawa Electric CO Ltd Jpy50 | 635756000 | N/A | $545.31 |
 |
| Cosmo Oil Company Jpy50 | 622633006 | N/A | $521.60 |
 |
| Hitachi High Tech Jpy50 | 664280005 | N/A | $516.86 |
 |
| Ushio Incorporated Npv | 691898001 | N/A | $505.27 |
 |
| Government National Mortgage Association | 36223A4P4 | N/A | $503.69 |
 |
| Whitehaven Coal Npv | B1XQXC902 | WHC | $495.91 |
 |
| Federal National Mortgage Association | 31390SFX4 | N/A | $488.74 |
 |
| Government National Mortgage Association | 36225BGW2 | N/A | $486.07 |
 |
| Nexon CO Ltd Common Stock | B63QM7907 | N/A | $481.03 |
 |
| Eurasian Natural Ord Usd0.20 | B29BCK905 | ENRC | $472.92 |
 |
| Structured Asset Secs Corp Perp Svgs Bk Tr 90 1 | 863572AY9 | N/A | $463.32 |
 |
| Coca Cola West Compay Limited Npv | 616328902 | N/A | $431.50 |
 |
| Federal Natl Mtg Assn Gtd Remi Remic Tr 2005 31 Cl Pb | 31394CY63 | N/A | $426.30 |
 |
| Acciona S A Uer1 | 557910908 | ANA | $419.10 |
 |
| Fed Hm Ln Pc Pool C90651 | 31335HWL3 | N/A | $405.03 |
 |
| Morgan Stanley Dean Witter Capital I Series 2001-top3 Class A4 | 61746WHF0 | N/A | $375.48 |
 |
| Federal National Mortgage Association | 31385JF37 | N/A | $371.84 |
 |
| Enteromedics Incorporated Wts Call Exp | 29365M125 | N/A | $366.54 |
 |
| Sasc 1998-2 A | 863572SE4 | N/A | $365.73 |
 |
| Federal Home Ln Mtg Pc Gtd Ser 1590 Cl 1590 Ia Var Rate | 3133T1MC3 | N/A | $353.03 |
 |
| Toyota Boshoku Corp Jpy50 | 690059902 | N/A | $348.79 |
 |
| Federal National Mortgage Association | 31403DWC9 | N/A | $343.14 |
 |
| Orient O/seas Intl Usd0. 10 | 665911905 | N/A | $335.12 |
 |
| Sydney Airport Misc. Npv | B70DWB907 | SYD | $329.43 |
 |
| Federal National Mortgage Association | 31385JD47 | N/A | $327.53 |
 |
| Fed Hm Ln Pc Pool G11300 | 31283KNR5 | N/A | $298.00 |
 |
| Gazprom Neft Sponsored ADR ADR | 36829G107 | GZPFY | $271.37 |
 |
| Federal Natl Mtg Assn Ser 2004 45 Cl Vb | 31393YYS8 | N/A | $256.48 |
 |
| Government National Mortgage Association | 36220JE36 | N/A | $250.45 |
 |
| Government National Mortgage Association | 362195B65 | N/A | $226.23 |
 |
| Federal Natl Mtg Assn Gtd Remic Tr 1999 54 Cl Lh | 31359XCD9 | N/A | $198.43 |
 |
| Federal Home Ln Mtg Corp Ser 2423 Cl M C | 31339WBV7 | N/A | $188.75 |
 |
| Federal National Mortgage Association | 31371KNL1 | N/A | $180.89 |
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| Government National Mortgage Association | 36223KZ37 | N/A | $162.83 |
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| Federal National Mortgage Association | 31382F2E8 | N/A | $162.67 |
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| Fed Hm Ln Pc Pool G12008 | 3128M1DM8 | N/A | $156.26 |
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| Government National Mortgage Association | 36223PCX5 | N/A | $142.43 |
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| Federal Home Loan Mortgage Company | 3128NJDZ9 | N/A | $137.24 |
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| Bankia SA Common Stock | B66N1X907 | BKIA | $115.18 |
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| Colonial Bank | 195556AA3 | N/A | $90.66 |
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| Federal National Mortgage Association | 31385XDT1 | N/A | $85.63 |
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| Government National Mortgage Association | 3621987D9 | N/A | $84.06 |
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| Government National Mortgage Association | 362199AV3 | N/A | $77.52 |
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| Irish Life + Permanent PLC Common Stock Eur.32 | B59NXW903 | IPM | $77.04 |
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| Government National Mortgage Association | 3621986S7 | N/A | $68.62 |
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| Government National Mortgage Association | 36220DC98 | N/A | $62.44 |
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| Government National Mortgage Association | 36220FVE1 | N/A | $58.57 |
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| Government National Mortgage Association | 36220JEF9 | N/A | $58.30 |
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| Prothena Corporation PLC Common Stock Usd.01 | G72800108 | PRTA | $38.16 |
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| Caixabank Right | ACI05BN83 | N/A | $28.15 |
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| Government National Mortgage Association | 36220FGM0 | N/A | $28.00 |
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| Federal Home Ln Mtg Pc Gtd Ser 1935 Cl 1935 Fl Var Rate | 3133T8Z83 | N/A | $25.33 |
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| Government National Mortgage Association | 3621987G2 | N/A | $22.57 |
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| Government National Mortgage Association | 362199AQ4 | N/A | $12.78 |
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| Federal Home Ln Mtg Pc Gtd Ser 1897 Cl 1897k | 3133T7ZF9 | N/A | $11.97 |
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| Federal National Mortgage Association | 31362HRH4 | N/A | $9.06 |
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| Husqvarna Ab Ser A Npv | B12V0C901 | HUSQA | $1.47 |
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| Independent Tanker Npv | B2Q4DG900 | ITCL | $0.53 |
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| Banco De Valencia Eur0.25 | B3BWN1904 | BVA | $0.04 |
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| Israel Discount Bk Ils0.10 Ser A | 645127903 | DSCT | $0.02 |
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| Voyager Learning Corp Common Stock | 929ESC960 | N/A | $0.01 |
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| Fed Hm Ln Pc Pool G30607 | 3128CUU87 | N/A | $0.00 |
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| Federal Home Loan Mortgage Company | 3128M8AH7 | N/A | $0.00 |
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| FNMA | 3138LT4P0 | N/A | $0.00 |
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| FNMA | 31418AHY7 | N/A | $0.00 |
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| Freeport Mcmoran C + G Sr Unsecured 144a 03/43 5.45 | 35671DBA2 | N/A | $0.00 |
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| Hertz Vehicle Financing LLC Hertz 2013 1a A2 144a | 42805RBN8 | N/A | $0.00 |
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| Anheuser Busch Inbev Nv Vvpr Strip | 477377907 | ABIS | $0.00 |
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| Morgan Stanley Cap I Incorporated 2004 Tp13 Coml Mtg Pass Cl A 3 | 61745MVA8 | N/A | $0.00 |
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| Wachovia Bank Commercial Mortgage Trust Series 2003-c7 Class A1 | 929766KH5 | N/A | $0.00 |
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| Gdf Suez Vvpr Strip | B3B9KQ903 | GSZBS | $0.00 |
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| Immoeast Anspr Nachb Common Stock | B46JKC906 | N/A | $0.00 |
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| Ageas Strip Vvpr Misc. | B83C0Q906 | AGSS | $0.00 |
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