Nordstrom 401(k) Plan | |
/s/ Michael G. Koppel | |
Michael G. Koppel | |
Executive Vice President and Chief Financial Officer | |
Nordstrom, Inc. | |
Date: | June 10, 2016 |
Exhibit | Method of Filing | |||
23.1 | Consent of Independent Registered Public Accounting Firm | Filed herewith electronically | ||
99.1 | Nordstrom 401(k) Plan Financial Statements | Filed herewith electronically | ||
99.2 | Nordstrom 401(k) Plan & Profit Sharing, amended and restated on June 12, 2014 | Incorporated by reference from the Nordstrom, Inc. Quarterly Report on Form 10-Q for the quarter ended May 2, 2015, Exhibit 10.2 | ||
99.3 | Amendment 2014-4 to the Nordstrom 401(k) Plan & Profit Sharing | Incorporated by reference from the Nordstrom, Inc. Quarterly Report on Form 10-Q for the quarter ended August 2, 2014, Exhibit 10.6 | ||
99.4 | Amendment 2014-5 to the Nordstrom 401(k) Plan & Profit Sharing | Incorporated by reference from the Nordstrom, Inc. Quarterly Report on Form 10-Q for the quarter ended November 1, 2014, Exhibit 10.2 | ||
99.5 | Amendment 2014-6 to the Nordstrom 401(k) Plan & Profit Sharing | Incorporated by reference from the Nordstrom, Inc. Quarterly Report on Form 10-Q for the quarter ended November 1, 2014, Exhibit 10.3 |
Page | ||
FINANCIAL STATEMENTS | ||
SUPPLEMENTAL INFORMATION | ||
December 31, | |||||||
2015 | 2014 | ||||||
Assets | |||||||
Participant-directed investments at fair value (see Note 3: Fair Value Measurements) | $ | 2,549,074 | $ | 2,652,645 | |||
Employer contributions receivable | 59,879 | 81,652 | |||||
Notes receivable from participants | 92,938 | 90,846 | |||||
Accrued income and broker receivable | 3,206 | 2,016 | |||||
Other assets | 2,340 | 1,964 | |||||
Total assets | 2,707,437 | 2,829,123 | |||||
Liabilities | |||||||
Administrative expenses and other payables | 1,251 | 1,127 | |||||
Excess contributions payable to participants | 1,170 | 1,232 | |||||
Due to broker for securities purchased | 3,386 | 161 | |||||
Total liabilities | 5,807 | 2,520 | |||||
Net assets available for benefits | $ | 2,701,630 | $ | 2,826,603 |
Plan year ended | December 31, 2015 | ||
Additions | |||
Contributions | |||
Employer contributions | $ | 59,879 | |
Participant contributions | 118,965 | ||
Total contributions | 178,844 | ||
Investment income (loss) | |||
Net depreciation in fair value of investments | (191,790 | ) | |
Interest and dividends | 71,105 | ||
Total investment income (loss) | (120,685 | ) | |
Total additions | 58,159 | ||
Deductions | |||
Benefit payments to participants | 181,776 | ||
Administrative expenses and other | 4,460 | ||
Total deductions | 186,236 | ||
Decrease in net assets | (128,077 | ) | |
Transfer from other qualified plan | 3,104 | ||
Net decrease in net assets after transfer | (124,973 | ) | |
Net assets available for benefits at beginning of year | 2,826,603 | ||
Net assets available for benefits at end of year | $ | 2,701,630 |
Years of Service Completed | Vesting Percentage | |
Less than one | 0% | |
One | 33% | |
Two | 67% | |
Three or more | 100% |
• | 50% of their vested account balance, less the balance of any other outstanding loans from the Plan as of the loan request date, or |
• | $50 less the highest outstanding principal balance of any loans during the one-year period immediately preceding the loan request date. |
• | Common stock is valued at quoted market prices as of the last trading day of the Plan year. |
• | Shares of mutual funds are valued at quoted market prices as of the last trading day of the Plan year. |
• | CCTs are measured using the net asset value ("NAV") practical expedient of the CCT as reported by the CCT managers. The NAV practical expedient is based on the fair value of the underlying assets owned by the CCT, less its liabilities, and divided by the number of units outstanding. |
• | Investments in debt securities are valued using the market approach and observable inputs, such as observable trade prices, multiple broker/dealer quotes, related yield curves and other assumptions about the securities. |
• | Self-directed brokerage accounts allow participants to invest all or a portion of their account in investments of their choice. The fair value is based on the underlying investments, which may include common stock, mutual funds, debt securities and CCTs. |
• | The Nordstrom Target Retirement Date Funds hold underlying investments which include common stock, mutual funds, debt securities and CCTs. The fair values of the Nordstrom Target Retirement Date Funds are valued based on the underlying investments. |
December 31, 2015 | |||||||||||
Level 1 | Level 2 | Total | |||||||||
Fair value hierarchy: | |||||||||||
Equity securities | $ | 478,148 | $ | — | $ | 478,148 | |||||
Debt securities | — | 111,138 | 111,138 | ||||||||
Mutual funds | 1,247,665 | — | 1,247,665 | ||||||||
Brokerage securities | 17,774 | 3,300 | 21,074 | ||||||||
Other | 730 | — | 730 | ||||||||
Total assets in fair value hierarchy | $ | 1,744,317 | $ | 114,438 | $ | 1,858,755 | |||||
Investments measured at NAV practical expedient | 690,319 | ||||||||||
Total participant-directed investments at fair value | $ | 2,549,074 |
December 31, 2014 | |||||||||||
Level 1 | Level 2 | Total | |||||||||
Fair value hierarchy: | |||||||||||
Equity securities | $ | 579,462 | $ | — | $ | 579,462 | |||||
Debt securities | — | 107,881 | 107,881 | ||||||||
Mutual funds | 1,469,616 | — | 1,469,616 | ||||||||
Brokerage securities | 15,671 | 3,127 | 18,798 | ||||||||
Other | 53 | — | 53 | ||||||||
Total assets in fair value hierarchy | $ | 2,064,802 | $ | 111,008 | $ | 2,175,810 | |||||
Investments measured at NAV practical expedient | 476,835 | ||||||||||
Total participant-directed investments at fair value | $ | 2,652,645 |
December 31, | |||||||
2015 | 2014 | ||||||
Net assets available for benefits per the financial statements | $ | 2,701,630 | $ | 2,826,603 | |||
Adjustment from contract value to fair value for fully benefit-responsive stable value fund | — | 3,688 | |||||
Administrative expenses and other payables | 972 | 855 | |||||
Net assets available for benefits per Form 5500 | $ | 2,702,602 | $ | 2,831,146 |
Plan year ended | December 31, 2015 | ||
Total decrease in net assets per the financial statements | $ | (128,077 | ) |
Change in the adjustment from contract value to fair value for fully benefit-responsive stable value fund | (3,688 | ) | |
Administrative expenses and other | 116 | ||
Total net loss per Form 5500 | $ | (131,649 | ) |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | |||||||
* | Nordstrom, Inc. | Common Stock | ** | $ | 253,428 | ||||||
Putnam Stable Value Fund | CCT | ** | 199,403 | ||||||||
Voya Large Cap Growth | CCT | ** | 94,634 | ||||||||
William Blair Small-Mid Cap Growth | CCT | ** | 138,756 | ||||||||
Loomis Sayles Core Plus Fixed Income Trust | CCT | ** | 87,792 | ||||||||
American Funds Europacific Growth Fund | Mutual Fund | ** | 180,041 | ||||||||
Dodge & Cox Stock Fund | Mutual Fund | ** | 169,912 | ||||||||
Neuberger & Berman Genesis Fund | Mutual Fund | ** | 106,281 | ||||||||
Vanguard Institutional Index Fund | Mutual Fund | ** | 151,338 | ||||||||
Brokerage Securities | Self-directed Brokerage Securities | ** | 17,774 | ||||||||
SDB Money Market Fund | Self-directed Brokerage Money Market Fund | ** | 3,300 | ||||||||
Pending Account | Noninterest-Bearing Cash | ** | 730 | ||||||||
New England Life Insurance | Life Insurance Policies | ** | 1,818 | ||||||||
* | EB Temporary Investment Fund | CCT - due 12/31/2049 - Variable | ** | 522 | |||||||
* | Participant Loans | Loan interest rates range from 4.25% to 10.5% with various maturities through December 2035. | — | 92,938 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
Investments held within the Nordstrom Target Retirement Date Funds1: | ||||||||||
Dodge & Cox Stock Fund | Mutual Fund | ** | $ | 130,546 | ||||||
Vanguard Institutional Index Fund | Mutual Fund | ** | 141,113 | |||||||
Neuberger Berman Genesis Fund/Institutional | Mutual Fund | ** | 75,054 | |||||||
American Funds EuroPacific Growth Fund | Mutual Fund | ** | 159,312 | |||||||
Aberdeen International Equity Fund | Mutual Fund | ** | 134,068 | |||||||
SSGA TIPS Index | CCT | ** | 25,906 | |||||||
Putnam Stable Value Fund | CCT | ** | 23,386 | |||||||
Loomis Core Plus Fixed Income Trust | CCT | ** | 113,300 | |||||||
* | EB Temporary Investment Fund | CCT - due 12/31/2049 - Variable | ** | 7,142 | ||||||
FHLMC POOL #G3-0315 | U.S. Government Securities - due 1/1/2027 - 6.0% | ** | 242 | |||||||
FHLMC POOL #G3-0320 | U.S. Government Securities - due 7/1/2025 - 6.0% | ** | 395 | |||||||
FHLMC POOL #G0-7600 | U.S. Government Securities - due 3/1/2042 - 4.5% | ** | 746 | |||||||
FHLMC POOL #G1-4667 | U.S. Government Securities - due 2/1/2027 - 4.0% | ** | 468 | |||||||
FHLMC POOL #H0-1774 | U.S. Government Securities - due 9/1/2037 - 6.5% | ** | 41 | |||||||
FHLMC POOL #C9-0981 | U.S. Government Securities - due 7/1/2026 - 6.5% | ** | 405 | |||||||
FHLMC POOL #C9-1013 | U.S. Government Securities - due 1/1/2027 - 6.5% | ** | 251 | |||||||
FHLMC POOL #1B-5071 | U.S. Government Securities - due 5/1/2042 - Variable | ** | 934 | |||||||
FHLMC POOL #J1-2899 | U.S. Government Securities - due 9/1/2025 - 4.0% | ** | 463 | |||||||
FHLMC POOL #1H-2592 | U.S. Government Securities - due 1/1/2036 - Variable | ** | 181 | |||||||
FHLMC POOL #H0-9197 | U.S. Government Securities - due 10/1/2038 - 6.5% | ** | 36 | |||||||
FHLMC POOL #H0-9212 | U.S. Government Securities - due 5/1/2038 - 5.5% | ** | 68 | |||||||
FHLMC POOL #84-9849 | U.S. Government Securities - due 10/1/2045 - Variable | ** | 304 | |||||||
FHLMC POOL #84-9254 | U.S. Government Securities - due 1/1/2042 - Variable | ** | 778 | |||||||
FHLMC POOL #84-9327 | U.S. Government Securities - due 5/1/2044 - Variable | ** | 1,338 | |||||||
FHLMC POOL #84-9505 | U.S. Government Securities - due 10/1/2044 - Variable | ** | 412 | |||||||
FHLMC POOL #84-9544 | U.S. Government Securities - due 12/1/2044 - Variable | ** | 684 | |||||||
FHLMC POOL #Q0-3517 | U.S. Government Securities - due 9/1/2041 - 4.5% | ** | 767 | |||||||
FHLMC POOL #G6-0153 | U.S. Government Securities - due 10/1/2044 - 4.5% | ** | 543 | |||||||
FHLMC POOL #78-1274 | U.S. Government Securities - due 2/1/2034 - Variable | ** | 216 | |||||||
FNMA POOL #0256851 | U.S. Government Securities - due 8/1/2037 - 7.0% | ** | 79 | |||||||
FNMA POOL #0AL2689 | U.S. Government Securities - due 2/1/2027 - 4.0% | ** | 389 | |||||||
FNMA POOL #0AL1845 | U.S. Government Securities - due 6/1/2039 - Variable | ** | 175 | |||||||
FNMA POOL #0AL1900 | U.S. Government Securities - due 8/1/2026 - 4.5% | ** | 471 | |||||||
FNMA POOL #0AL4577 | U.S. Government Securities - due 1/1/2034 - 4.5% | ** | 693 | |||||||
FNMA POOL #0AL5145 | U.S. Government Securities - due 10/1/2033 - 4.0% | ** | 976 | |||||||
FNMA POOL #0AL6209 | U.S. Government Securities - due 7/1/2021 - 5.049% | ** | 131 | |||||||
FNMA POOL #0AL6245 | U.S. Government Securities - due 1/1/2045 - Variable | ** | 852 | |||||||
FNMA POOL #0AL5749 | U.S. Government Securities - due 7/1/2042 - 4.5% | ** | 666 | |||||||
FNMA POOL #0AL5957 | U.S. Government Securities - due 5/1/2027 - 4.0% | ** | 847 | |||||||
FNMA POOL #0AL6132 | U.S. Government Securities - due 3/1/2029 - 4.5% | ** | 623 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
FNMA POOL #0AL6120 | U.S. Government Securities - due 11/1/2044 - Variable | ** | $ | 2,157 | ||||||
FNMA POOL #0AL7205 | U.S. Government Securities - due 12/1/2029 - 3.5% | ** | 917 | |||||||
FNMA POOL #0AO4105 | U.S. Government Securities - due 6/1/2042 - Variable | ** | 1,749 | |||||||
FNMA POOL #0AO8469 | U.S. Government Securities - due 5/1/2042 - Variable | ** | 571 | |||||||
FNMA POOL #0AP7562 | U.S. Government Securities - due 9/1/2042 - Variable | ** | 989 | |||||||
FNMA POOL #0AW4697 | U.S. Government Securities - due 5/1/2044 - Variable | ** | 561 | |||||||
FNMA POOL #0AX3721 | U.S. Government Securities - due 7/1/2027 - 3.5% | ** | 838 | |||||||
FNMA GTD REMIC P/T 13-26 FE | U.S. Government Securities - due 4/25/2043 - Variable | ** | 1,115 | |||||||
FNMA GTD REMIC P/T 13-128 CF | U.S. Government Securities - due 12/25/2043 - Variable | ** | 1,510 | |||||||
FNMA GTD REMIC P/T 14-M13 ASQ2 | U.S. Government Securities - due 11/25/2017 - 1.648% | ** | 246 | |||||||
FNMA GTD REMIC P/T 12-46 BA | U.S. Government Securities - due 5/25/2042 - 6.0% | ** | 923 | |||||||
FHLMC MULTICLASS CTF 4283 EW | U.S. Government Securities - due 12/15/2043 - Variable | ** | 491 | |||||||
FHLMC MULTICLASS MTG 4319 MA | U.S. Government Securities - due 3/15/2044 - Variable | ** | 773 | |||||||
FNMA GTD REMIC P/T 01-79 BA | U.S. Government Securities - due 3/25/2045 - 7.0% | ** | 56 | |||||||
FNMA GTD REMIC P/T 01-T10 A1 | U.S. Government Securities - due 12/25/2041 - 7.0% | ** | 349 | |||||||
FNMA GTD REMIC P/T 04-W2 5A | U.S. Government Securities - due 3/25/2044 - 7.5% | ** | 483 | |||||||
FHLMC MULTICLASS MTG 2957 VZ | U.S. Government Securities - due 2/15/2035 - 5.0% | ** | 1,190 | |||||||
FNMA GTD REMIC P/T 07-50 DZ | U.S. Government Securities - due 6/25/2037 - 5.5% | ** | 969 | |||||||
FNMA GTD REMIC P/T 07-W10 2A | U.S. Government Securities - due 8/25/2047 - Variable | ** | 373 | |||||||
FNMA POOL #0735503 | U.S. Government Securities - due 4/1/2035 - 6.0% | ** | 209 | |||||||
FNMA POOL #0735608 | U.S. Government Securities - due 3/1/2035 - Variable | ** | 464 | |||||||
FNMA POOL #0745329 | U.S. Government Securities - due 7/1/2035 - 6.0% | ** | 326 | |||||||
FNMA POOL #0884704 | U.S. Government Securities - due 6/1/2036 - Variable | ** | 132 | |||||||
FNMA POOL #0888367 | U.S. Government Securities - due 3/1/2037 - 7.0% | ** | 703 | |||||||
FNMA POOL #0888154 | U.S. Government Securities - due 11/1/2036 - Variable | ** | 343 | |||||||
FNMA POOL #0889634 | U.S. Government Securities - due 2/1/2023 - 6.0% | ** | 390 | |||||||
FNMA POOL #0889984 | U.S. Government Securities - due 10/1/2038 - 6.5% | ** | 280 | |||||||
FNMA POOL #0976853 | U.S. Government Securities - due 11/1/2029 - 5.5% | ** | 373 | |||||||
FNMA POOL #0995487 | U.S. Government Securities - due 8/1/2037 - 6.0% | ** | 395 | |||||||
FNMA POOL #0AB1763 | U.S. Government Securities - due 11/1/2030 - 4.0% | ** | 192 | |||||||
FNMA POOL #0AB8086 | U.S. Government Securities - due 10/1/2037 - 6.0% | ** | 100 | |||||||
FNMA POOL #0MA0232 | U.S. Government Securities - due 11/1/2029 - 4.5% | ** | 907 | |||||||
FNMA POOL #0AD0121 | U.S. Government Securities - due 9/1/2029 - 4.5% | ** | 666 | |||||||
FNMA POOL #0AD0130 | U.S. Government Securities - due 8/1/2039 - 6.5% | ** | 72 | |||||||
FNMA POOL #0AD0217 | U.S. Government Securities - due 8/1/2037 - 6.0% | ** | 370 | |||||||
FNMA POOL #0AD0218 | U.S. Government Securities - due 9/1/2036 - 6.0% | ** | 385 | |||||||
FNMA POOL #0AD0198 | U.S. Government Securities - due 9/1/2038 - 5.5% | ** | 175 | |||||||
FNMA POOL #0AD0964 | U.S. Government Securities - due 11/1/2039 - 5.5% | ** | 795 | |||||||
SBA GTD PARTN CTFS 2006-20E 1 | U.S. Government Securities - due 5/1/2026 - 5.87% | ** | 311 | |||||||
SBA GTD PARTN CTFS 2007-20B 1 | U.S. Government Securities - due 2/1/2027 - 5.49% | ** | 369 | |||||||
SBA GTD PARTN CTFS 2007-20D 1 | U.S. Government Securities - due 4/1/2027 - 5.32% | ** | 205 | |||||||
U.S. TREASURY NOTE | U.S. Government Securities - due 2/15/2016 - 0.375% | ** | 3,000 | |||||||
U.S. TREASURY NOTE | U.S. Government Securities - due 11/15/2016 - 0.625% | ** | 1,148 | |||||||
U.S. TREASURY NOTE | U.S. Government Securities - due 5/31/2016 - 0.375% | ** | 970 | |||||||
American Express Credit AC 3 A | Corporate Debt - due 4/15/2020 - 1.49% | ** | 1,100 | |||||||
BHP Billiton Finance USA 144A | Corporate Debt - due 10/19/2075 - Variable | ** | 555 | |||||||
BNSF Railway Co. | Corporate Debt - due 4/1/2024 - 5.996% | ** | 203 | |||||||
Bank of America N.A. | Corporate Debt - due 3/15/2017 - 5.3% | ** | 390 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
Burlington Northern Santa Fe LLC | Corporate Debt - due 9/1/2023 - 3.85% | ** | $ | 467 | ||||||
Burlington Northern Santa Fe LLC | Corporate Debt - due 4/1/2024 - 3.75% | ** | 512 | |||||||
Burlington Northern Santa Fe LLC | Corporate Debt - due 1/15/2021 - 8.251% | ** | 550 | |||||||
CSX Transportation, Inc. | Corporate Debt - due 1/15/2023 - 6.251% | ** | 244 | |||||||
CEMEX SAB de CV 144A | Corporate Debt - due 1/11/2025 - 5.7% | ** | 335 | |||||||
Chase Issuance Trust A8 A8 | Corporate Debt - due 10/15/2018 - 1.01% | ** | 320 | |||||||
Chase Issuance Trust A7 A7 | Corporate Debt - due 11/15/2019 - 1.38% | ** | 997 | |||||||
Chase Issuance Trust A2 A2 | Corporate Debt - due 2/18/2020 - 1.59% | ** | 535 | |||||||
Comcast Corp. | Corporate Debt - due 5/15/2018 - 5.7% | ** | 137 | |||||||
Corp Nacional del Cobre D 144A | Corporate Debt - due 9/16/2025 - 4.5% | ** | 212 | |||||||
Federal Express Corp. 1998 Pass | Corporate Debt - due 7/15/2023 - 6.72% | ** | 107 | |||||||
Ford Credit Auto Owner Tr A A3 | Corporate Debt - due 7/15/2017 - 0.55% | ** | 48 | |||||||
GE Capital International 144A | Corporate Debt - due 11/15/2020 - 2.342% | ** | 537 | |||||||
General Electric Co. | Corporate Debt - due 9/16/2020 - 4.375% | ** | 125 | |||||||
General Electric Co. | Corporate Debt - due 10/17/2021 - 4.65% | ** | 87 | |||||||
HSBC Holdings PLC | Corporate Debt - due 5/2/2036 - 6.5% | ** | 537 | |||||||
HSBC Holdings PLC | Corporate Debt - due 9/15/2037 - 6.5% | ** | 660 | |||||||
HSBC Holdings PLC | Corporate Debt - due 4/5/2021 - 5.1% | ** | 167 | |||||||
Petroleos Mexicanos | Corporate Debt - due 1/23/2045 - 6.375% | ** | 635 | |||||||
Petroleos Mexicanos 144A | Corporate Debt - due 1/15/2025 - 4.25% | ** | 219 | |||||||
Petroleos Mexicanos 144A | Corporate Debt - due 1/23/2046 - 5.625% | ** | 268 | |||||||
Union Pacific Railroad Co. 1998 | Corporate Debt - due 2/23/2019 - 6.7% | ** | 38 | |||||||
Union Pacific Railroad Co. 2006 | Corporate Debt - due 7/2/2030 - 5.866% | ** | 1,234 | |||||||
Verizon Communications, Inc. | Corporate Debt - due 1/15/2036 - 4.272% | ** | 1,226 | |||||||
Wells Fargo & Co. | Corporate Debt - due 7/22/2027 - 4.3% | ** | 613 | |||||||
Time Warner, Inc. | Corporate Debt - due 5/1/2032 - 7.7% | ** | 1,498 | |||||||
AT&T Corp. | Corporate Debt - due 11/15/2031 - Variable | ** | 234 | |||||||
AT&T, Inc. | Corporate Debt - due 2/15/2039 - 6.55% | ** | 506 | |||||||
AT&T, Inc. | Corporate Debt - due 5/15/2025 - 3.4% | ** | 168 | |||||||
AT&T, Inc. | Corporate Debt - due 5/15/2046 - 4.75% | ** | 160 | |||||||
AT&T, Inc. | Corporate Debt - due 9/1/2040 - 5.35% | ** | 272 | |||||||
Actavis Funding SCS | Corporate Debt - due 3/12/2020 - 3.0% | ** | 475 | |||||||
Actavis Funding SCS | Corporate Debt - due 3/15/2022 - 3.45% | ** | 350 | |||||||
Actavis Funding SCS | Corporate Debt - due 3/15/2025 - 3.8% | ** | 348 | |||||||
BAC Capital Trust XI | Corporate Debt - due 5/23/2036 - 6.625% | ** | 1,037 | |||||||
Bank One Capital III | Corporate Debt - due 9/1/2030 - 8.75% | ** | 644 | |||||||
BNP Paribas S.A. | Corporate Debt - due 10/15/2024 - 4.25% | ** | 817 | |||||||
BNP Paribas S.A. 144A | Corporate Debt - due 9/28/2025 - 4.375% | ** | 343 | |||||||
Bank of America Corp. | Corporate Debt - due 6/1/2019 - 7.625% | ** | 290 | |||||||
Bank of America Corp. | Corporate Debt - due 7/1/2020 - 5.625% | ** | 361 | |||||||
Bank of America Corp. | Corporate Debt - due 8/26/2024 - 4.2% | ** | 198 | |||||||
Barclays PLC | Corporate Debt - due 9/11/2024 - 4.375% | ** | 538 | |||||||
Becton Dickinson and Co. | Corporate Debt - due 12/15/2024 - 3.734% | ** | 151 | |||||||
Boston Properties LP | Corporate Debt - due 10/15/2019 - 5.875% | ** | 333 | |||||||
Boston Properties LP | Corporate Debt - due 5/15/2021 - 4.125% | ** | 131 | |||||||
Boston Properties LP | Corporate Debt - due 2/1/2023 - 3.85% | ** | 408 | |||||||
Boston Properties LP | Corporate Debt - due 9/1/2023 - 3.125% | ** | 268 | |||||||
Boston Scientific Corp. | Corporate Debt - due 1/15/2020 - 6.0% | ** | 305 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
CEMEX Finance LLC 144A | Corporate Debt - due 4/1/2024 - 6.0% | ** | $ | 750 | ||||||
CIGNA Corp. | Corporate Debt - due 5/15/2027 - 7.875% | ** | 310 | |||||||
CIGNA Corp. | Corporate Debt - due 11/15/2036 - 6.15% | ** | 370 | |||||||
CIGNA Corp. | Corporate Debt - due 6/15/2020 - 5.125% | ** | 82 | |||||||
CIGNA Corp. | Corporate Debt - due 2/15/2022 - 4.0% | ** | 155 | |||||||
CRH America Inc. 144A | Corporate Debt - due 6/30/2023 - 3.875% | ** | 571 | |||||||
Capital One Financial Corp. | Corporate Debt - due 6/15/2023 - 3.5% | ** | 696 | |||||||
Capital One Financial Corp. | Corporate Debt - due 2/5/2025 - 3.2% | ** | 604 | |||||||
Capital One Financial Corp. | Corporate Debt - due 10/29/2025 - 4.2% | ** | 173 | |||||||
CEMEX SAB de CV 144A | Corporate Debt - due 12/10/2019 - 6.5% | ** | 458 | |||||||
CEMEX SAB de CV 144A | Corporate Debt - due 5/5/2025 - 6.125% | ** | 171 | |||||||
CCO Safari II LLC 144A | Corporate Debt - due 7/23/2025 - 4.908% | ** | 300 | |||||||
CCO Safari II LLC 144A | Corporate Debt - due 10/23/2045 - 6.484% | ** | 225 | |||||||
Citigroup, Inc. | Corporate Debt - due 5/15/2018 - Variable | ** | 508 | |||||||
Citigroup, Inc. | Corporate Debt - due 5/15/2023 - 3.5% | ** | 98 | |||||||
Cox Communications, Inc. 144A | Corporate Debt - due 12/15/2022 - 3.25% | ** | 545 | |||||||
Cox Communications, Inc. 144A | Corporate Debt - due 6/30/2023 - 2.95% | ** | 330 | |||||||
Cox Communications, Inc. 144A | Corporate Debt - due 2/1/2025 - 3.85% | ** | 985 | |||||||
Dillard's, Inc. | Corporate Debt - due 5/15/2027 - 7.75% | ** | 494 | |||||||
Dillard's, Inc. | Corporate Debt - due 1/15/2018 - 6.625% | ** | 270 | |||||||
Dominion Resources, Inc. | Corporate Debt - due 10/1/2054 - Variable | ** | 490 | |||||||
The Dow Chemical Co. | Corporate Debt - due 11/1/2029 - 7.375% | ** | 216 | |||||||
The Dow Chemical Co. | Corporate Debt - due 5/15/2019 - 8.55% | ** | 933 | |||||||
The Dow Chemical Co. | Corporate Debt - due 5/15/2039 - 9.4% | ** | 359 | |||||||
ERP Operating LP | Corporate Debt - due 4/15/2023 - 3.0% | ** | 785 | |||||||
Enel Finance International 1144A | Corporate Debt - due 9/15/2037 - 6.8% | ** | 519 | |||||||
Enel Finance International 1144A | Corporate Debt - due 10/7/2039 - 6.0% | ** | 252 | |||||||
Export-Import Bank of Korea | Corporate Debt - due 1/11/2017 - 4.0% | ** | 204 | |||||||
Ford Credit Auto Owner 1 A 144A | Corporate Debt - due 7/15/2026 - 2.12% | ** | 573 | |||||||
Ford Motor Credit Co. LLC | Corporate Debt - due 1/15/2020 - 8.125% | ** | 236 | |||||||
Ford Motor Credit Co. LLC | Corporate Debt - due 2/1/2021 - 5.75% | ** | 359 | |||||||
Ford Motor Credit Co. LLC | Corporate Debt - due 8/2/2021 - 5.875% | ** | 558 | |||||||
Ford Motor Credit Co. LLC | Corporate Debt - due 8/6/2023 - 4.375% | ** | 308 | |||||||
Health Net, Inc. | Corporate Debt - due 6/1/2017 - 6.375% | ** | 416 | |||||||
Hewlett Packard Enterprise 144A | Corporate Debt - due 10/15/2020 - 3.6% | ** | 1,178 | |||||||
Imperial Tobacco Finance 144A | Corporate Debt - due 7/21/2022 - 3.75% | ** | 602 | |||||||
Imperial Tobacco Finance 144A | Corporate Debt - due 7/21/2025 - 4.25% | ** | 913 | |||||||
Kinder Morgan Energy Partners | Corporate Debt - due 9/1/2039 - 6.5% | ** | 206 | |||||||
Kinder Morgan Energy Partners | Corporate Debt - due 8/15/2042 - 5.0% | ** | 719 | |||||||
Kinder Morgan Energy Partners | Corporate Debt - due 9/1/2023 - 3.5% | ** | 518 | |||||||
Kinder Morgan Energy Partners | Corporate Debt - due 2/1/2024 - 4.15% | ** | 173 | |||||||
Kinder Morgan Energy Partners | Corporate Debt - due 9/1/2044 - 5.4% | ** | 283 | |||||||
Kinder Morgan, Inc. | Corporate Debt - due 6/1/2025 - 4.3% | ** | 173 | |||||||
Lafarge S.A. | Corporate Debt - due 7/15/2016 - 6.5% | ** | 564 | |||||||
Lloyds Banking Group PLC | Corporate Debt - due 11/4/2024 - 4.5% | ** | 584 | |||||||
Macy's Retail Holdings, Inc. | Corporate Debt - due 12/15/2034 - 4.5% | ** | 125 | |||||||
Macy's Retail Holdings, Inc. | Corporate Debt - due 9/15/2028 - 6.7% | ** | 1,184 | |||||||
Macy's Retail Holdings, Inc. | Corporate Debt - due 7/15/2024 - 6.65% | ** | 282 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
Myriad International Holdings 144A | Corporate Debt - due 7/18/2020 - 6.0% | ** | $ | 585 | ||||||
Myriad International Holdings 144A | Corporate Debt - due 7/21/2025 - 5.5% | ** | 577 | |||||||
* | Nordstrom, Inc. | Corporate Debt - due 3/15/2028 - 6.95% | ** | 326 | ||||||
Petroleos Mexicanos | Corporate Debt - due 6/15/2035 - 6.625% | ** | 179 | |||||||
Petroleos Mexicanos | Corporate Debt - due 1/18/2024 - 4.875% | ** | 233 | |||||||
Petrobras Global Finance B.V. | Corporate Debt - due 1/27/2021 - 5.375% | ** | 224 | |||||||
Petrobras Global Finance B.V. | Corporate Debt - due 5/20/2023 - 4.375% | ** | 149 | |||||||
Petrobras Global Finance B.V. | Corporate Debt - due 3/17/2024 - 6.25% | ** | 269 | |||||||
Provident Cos., Inc. | Corporate Debt - due 3/15/2028 - 7.25% | ** | 349 | |||||||
RELX Capital, Inc. | Corporate Debt - due 1/15/2019 - 8.625% | ** | 146 | |||||||
RELX Capital, Inc. | Corporate Debt - due 10/15/2022 - 3.125% | ** | 550 | |||||||
Rio Oil Finance Trust 144A | Corporate Debt - due 7/6/2024 - Variable | ** | 1,258 | |||||||
Rio Oil Finance Trust 144A | Corporate Debt - due 1/6/2027 - Variable | ** | 772 | |||||||
Royal Bank of Scotland Group PLC | Corporate Debt - due 12/19/2023 - 6.0% | ** | 323 | |||||||
Royal Bank of Scotland Group PLC | Corporate Debt - due 12/15/2022 - 6.125% | ** | 1,089 | |||||||
Navient Corp. | Corporate Debt - due 6/15/2018 - 8.45% | ** | 447 | |||||||
Navient Corp. | Corporate Debt - due 1/25/2016 - 6.25% | ** | 150 | |||||||
Navient Corp. | Corporate Debt - due 1/25/2017 - 6.0% | ** | 513 | |||||||
Sprint Communications, Inc. | Corporate Debt - due 12/1/2016 - 6.0% | ** | 823 | |||||||
Telecom Italia Capital S.A. | Corporate Debt - due 6/18/2019 - 7.175% | ** | 551 | |||||||
Teck Resources LTD | Corporate Debt - due 2/1/2043 - 5.4% | ** | 179 | |||||||
Telecom Italia Capital S.A. | Corporate Debt - due 7/18/2036 - 7.2% | ** | 126 | |||||||
Telecom Italia Capital S.A. | Corporate Debt - due 6/4/2018 - 6.999% | ** | 648 | |||||||
Telecom Italia Capital S.A. | Corporate Debt - due 6/4/2038 - 7.721% | ** | 287 | |||||||
Telecom Italia SPA 144A | Corporate Debt - due 5/30/2024 - 5.303% | ** | 272 | |||||||
Time Warner Cable, Inc. | Corporate Debt - due 7/1/2038 - 7.3% | ** | 352 | |||||||
Time Warner Cable, Inc. | Corporate Debt - due 2/14/2019 - 8.75% | ** | 348 | |||||||
Time Warner Cable, Inc. | Corporate Debt - due 4/1/2019 - 8.25% | ** | 833 | |||||||
Time Warner Cable, Inc. | Corporate Debt - due 2/1/2020 - 5.0% | ** | 159 | |||||||
Time Warner Cable, Inc. | Corporate Debt - due 9/1/2021 - 4.0% | ** | 227 | |||||||
TransCanada Trust | Corporate Debt - due 5/20/2075 - Variable | ** | 532 | |||||||
21st Century Fox America, Inc. | Corporate Debt - due 12/15/2035 - 6.4% | ** | 86 | |||||||
21st Century Fox America, Inc. | Corporate Debt - due 3/1/2037 - 6.15% | ** | 111 | |||||||
21st Century Fox America, Inc. | Corporate Debt - due 11/15/2037 - 6.65% | ** | 319 | |||||||
Verizon Communications, Inc. | Corporate Debt - due 9/15/2043 - 6.55% | ** | 148 | |||||||
Verizon Communications, Inc. | Corporate Debt - due 3/15/2024 - 4.15% | ** | 385 | |||||||
Vulcan Materials Co. | Corporate Debt - due 6/15/2021 - 7.5% | ** | 728 | |||||||
Anthem, Inc. | Corporate Debt - due 2/15/2019 - 7.0% | ** | 730 | |||||||
Xerox Corp. | Corporate Debt - due 5/15/2021 - 4.5% | ** | 454 | |||||||
Zoetis, Inc. | Corporate Debt - due 11/13/2020 - 3.45% | ** | 175 | |||||||
Zoetis, Inc. | Corporate Debt - due 11/13/2025 - 4.5% | ** | 355 | |||||||
California State | Municipal Debt - due 4/1/2034 - 7.5% | ** | 474 | |||||||
California State | Municipal Debt - due 10/1/2039 - 7.3% | ** | 630 | |||||||
California State | Municipal Debt - due 3/1/2040 - 7.625% | ** | 291 | |||||||
Illinois State | Municipal Debt - due 6/1/2033 - 5.1% | ** | 284 | |||||||
Illinois State | Municipal Debt - due 3/1/2017 - 5.365% | ** | 1,322 | |||||||
Illinois State | Municipal Debt - due 3/1/2018 - 5.665% | ** | 371 | |||||||
Los Angeles CA Unif Sch Dist | Municipal Debt - due 7/1/2034 - 6.758% | ** | 560 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
New Jersey St Turnpike Auth | Municipal Debt - due 1/1/2041 - 7.102% | ** | $ | 825 | ||||||
Citigroup Capital XIII | Preferred Stock - 6.986% | ** | 1,068 | |||||||
Allergan PLC | Common Stock | ** | 2,022 | |||||||
Ingersoll-Rand PLC | Common Stock | ** | 1,912 | |||||||
NXP Semiconductor N.V. | Common Stock | ** | 1,331 | |||||||
Avago Technologies LTD | Common Stock | ** | 2,405 | |||||||
AMC Networks, Inc. | Common Stock | ** | 939 | |||||||
Adobe Systems, Inc. | Common Stock | ** | 3,058 | |||||||
Alphabet, Inc. | Common Stock | ** | 7,413 | |||||||
Amazon.com, Inc. | Common Stock | ** | 6,318 | |||||||
Ametek, Inc. | Common Stock | ** | 1,652 | |||||||
Amgen, Inc. | Common Stock | ** | 2,899 | |||||||
Apple, Inc. | Common Stock | ** | 9,099 | |||||||
Biogen, Inc. | Common Stock | ** | 2,097 | |||||||
BlackRock, Inc. | Common Stock | ** | 2,005 | |||||||
Bristol-Myers Squibb Co. | Common Stock | ** | 3,088 | |||||||
CVS Health Corp. | Common Stock | ** | 3,033 | |||||||
Celgene Corp. | Common Stock | ** | 2,120 | |||||||
Chipotle Mexican Grill, Inc. | Common Stock | ** | 1,008 | |||||||
Church & Dwight Co, Inc. | Common Stock | ** | 1,665 | |||||||
Coca-Cola Enterprises, Inc. | Common Stock | ** | 2,111 | |||||||
Cognizant Technology Solutions | Common Stock | ** | 2,232 | |||||||
Comcast Corp. | Common Stock | ** | 3,332 | |||||||
Costco Wholesale Corp. | Common Stock | ** | 2,297 | |||||||
Crown Holdings, Inc. | Common Stock | ** | 1,699 | |||||||
Danaher Corp. | Common Stock | ** | 2,783 | |||||||
Delta Air Lines, Inc. | Common Stock | ** | 2,754 | |||||||
Dish Network Corp. | Common Stock | ** | 1,792 | |||||||
Dollar General Corp. | Common Stock | ** | 2,278 | |||||||
Eastman Chemical Co. | Common Stock | ** | 1,815 | |||||||
Edwards Lifesciences Corp. | Common Stock | ** | 2,050 | |||||||
Electronic Arts, Inc. | Common Stock | ** | 1,643 | |||||||
Facebook, Inc. | Common Stock | ** | 2,667 | |||||||
Gilead Sciences, Inc. | Common Stock | ** | 1,908 | |||||||
Halliburton Co. | Common Stock | ** | 1,410 | |||||||
The Home Depot, Inc. | Common Stock | ** | 5,547 | |||||||
Intercontinental Exchange, Inc. | Common Stock | ** | 2,333 | |||||||
Jarden Corp. | Common Stock | ** | 3,114 | |||||||
McDonald's Corp. | Common Stock | ** | 3,892 | |||||||
McKesson Corp. | Common Stock | ** | 2,278 | |||||||
Merck & Co., Inc. | Common Stock | ** | 1,985 | |||||||
Microsoft Corp. | Common Stock | ** | 4,091 | |||||||
Monster Beverage Corp. | Common Stock | ** | 1,743 | |||||||
Moody's Corp. | Common Stock | ** | 1,793 | |||||||
Nike, Inc. | Common Stock | ** | 3,646 | |||||||
Northrop Grumman Corp. | Common Stock | ** | 1,728 | |||||||
Packaging Corporation of America | Common Stock | ** | 1,311 | |||||||
PepsiCo, Inc. | Common Stock | ** | 4,137 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
Red Hat, Inc. | Common Stock | ** | $ | 1,674 | ||||||
Roper Industries, Inc. | Common Stock | ** | 1,918 | |||||||
Ross Stores, Inc. | Common Stock | ** | 1,781 | |||||||
Salesforce.com, Inc. | Common Stock | ** | 750 | |||||||
Shire PLC (ADR) | Common Stock | ** | 1,744 | |||||||
Stanley Black & Decker, Inc. | Common Stock | ** | 1,480 | |||||||
Starbucks Corp. | Common Stock | ** | 1,445 | |||||||
TD Ameritrade Holding Corp. | Common Stock | ** | 1,815 | |||||||
Textron, Inc. | Common Stock | ** | 1,353 | |||||||
UnitedHealth Group, Inc. | Common Stock | ** | 2,777 | |||||||
Visa, Inc. | Common Stock | ** | 4,732 | |||||||
Lazard LTD | Common Stock | ** | 1,121 | |||||||
OM Asset Management PLC | Common Stock | ** | 642 | |||||||
Abiomed, Inc. | Common Stock | ** | 920 | |||||||
Affiliated Managers Group, Inc. | Common Stock | ** | 1,570 | |||||||
Align Technology, Inc. | Common Stock | ** | 1,412 | |||||||
Ansys, Inc. | Common Stock | ** | 1,463 | |||||||
Ball Corp. | Common Stock | ** | 701 | |||||||
Booz Allen Hamilton Holding Co. | Common Stock | ** | 1,448 | |||||||
Brunswick Corp. | Common Stock | ** | 751 | |||||||
CBOE Holdings, Inc. | Common Stock | ** | 1,618 | |||||||
CEB, Inc. | Common Stock | ** | 1,112 | |||||||
Cambrex Corp. | Common Stock | ** | 1,156 | |||||||
Carrizo Oil & Gas, Inc. | Common Stock | ** | 460 | |||||||
Celanese Corp. | Common Stock | ** | 1,390 | |||||||
Centene Corp. | Common Stock | ** | 829 | |||||||
Choice Hotels International, Inc. | Common Stock | ** | 1,164 | |||||||
Colliers International Group Inc. | Common Stock | ** | 902 | |||||||
CoStar Group, Inc. | Common Stock | ** | 1,533 | |||||||
Cvent, Inc. | Common Stock | ** | 1,019 | |||||||
Diamondback Energy, Inc. | Common Stock | ** | 797 | |||||||
Drew Industries, Inc. | Common Stock | ** | 987 | |||||||
Encore Capital Group, Inc. | Common Stock | ** | 758 | |||||||
Exact Sciences Corp. | Common Stock | ** | 665 | |||||||
ExamWorks Group, Inc. | Common Stock | ** | 523 | |||||||
Factset Research Systems, Inc. | Common Stock | ** | 1,006 | |||||||
First Cash Financial Services | Common Stock | ** | 714 | |||||||
FirstService Corp. | Common Stock | ** | 1,528 | |||||||
Gartner, Inc. | Common Stock | ** | 1,374 | |||||||
Guidewire Software, Inc. | Common Stock | ** | 2,182 | |||||||
Healthcare Services Group, Inc. | Common Stock | ** | 981 | |||||||
HealthSouth Corp. | Common Stock | ** | 1,387 | |||||||
Hexcel Corp. | Common Stock | ** | 1,082 | |||||||
Huron Consulting Group, Inc. | Common Stock | ** | 830 | |||||||
IDEXX Laboratories, Inc. | Common Stock | ** | 987 | |||||||
International Flavors & Fragrance | Common Stock | ** | 1,516 | |||||||
Jones Lang LaSalle, Inc. | Common Stock | ** | 1,167 | |||||||
J2 Global, Inc. | Common Stock | ** | 1,818 |
(a) | (b) Identity of issuer, borrower, lessor, or similar party | (c) Description of investment including maturity date, rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current Value | ||||||
Ligand Pharmaceuticals, Inc. | Common Stock | ** | $ | 1,691 | ||||||
ManpowerGroup, Inc. | Common Stock | ** | 1,048 | |||||||
Maximus, Inc. | Common Stock | ** | 1,209 | |||||||
Medivation, Inc. | Common Stock | ** | 931 | |||||||
Mednax, Inc. | Common Stock | ** | 1,679 | |||||||
Mettler-Toledo International Inc. | Common Stock | ** | 1,715 | |||||||
The Middleby Corp. | Common Stock | ** | 1,106 | |||||||
Neustar, Inc. | Common Stock | ** | 1,250 | |||||||
Nu Skin Enterprises, Inc. | Common Stock | ** | 948 | |||||||
Old Dominion Freight Line, Inc. | Common Stock | ** | 1,527 | |||||||
Pandora Media, Inc. | Common Stock | ** | 519 | |||||||
Polaris Industries, Inc. | Common Stock | ** | 988 | |||||||
Quintiles Transnational Holdings | Common Stock | ** | 1,347 | |||||||
SBA Communications Corp. | Common Stock | ** | 1,433 | |||||||
Sally Beauty Holdings, Inc. | Common Stock | ** | 1,002 | |||||||
Servicemaster Global Holdings | Common Stock | ** | 989 | |||||||
Signature Bank | Common Stock | ** | 1,276 | |||||||
Sirona Dental Systems, Inc. | Common Stock | ** | 1,362 | |||||||
Six Flags Entertainment Corp. | Common Stock | ** | 1,896 | |||||||
Stericycle, Inc. | Common Stock | ** | 801 | |||||||
The Toro Co. | Common Stock | ** | 914 | |||||||
Towers Watson & Co. | Common Stock | ** | 391 | |||||||
Tractor Supply Co. | Common Stock | ** | 1,029 | |||||||
Transdigm Group, Inc. | Common Stock | ** | 996 | |||||||
2U, Inc. | Common Stock | ** | 847 | |||||||
Tyler Technologies, Inc. | Common Stock | ** | 1,295 | |||||||
Ulta Salon Cosmetics & Fragrance | Common Stock | ** | 1,456 | |||||||
Vantiv, Inc. | Common Stock | ** | 1,426 | |||||||
Virtu Financial, Inc. | Common Stock | ** | 620 | |||||||
WD-40 Co. | Common Stock | ** | 1,086 | |||||||
WNS (Holdings) Limited | Common Stock | ** | 787 | |||||||
Williams-Sonoma, Inc. | Common Stock | ** | 673 |