UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
|
(Mark One)
|
|
x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
|
|
For the fiscal year ended December 31, 2011
|
|
OR
|
|
o TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
|
|
For the transition period from ____________ to ____________
|
|
Commission File Number: 1-4423
|
|
A. | Full title of the plan and address of the plan, if different from that of the issuer named below: |
HEWLETT-PACKARD COMPANY 401(k) PLAN
|
|
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
HEWLETT-PACKARD COMPANY
3000 HANOVER STREET
PALO ALTO, CALIFORNIA 94304
|
1 | |||
Audited Financial Statements:
|
|||
2 | |||
3 | |||
4 | |||
Supplemental Schedule:
|
|||
25 | |||
Signature | 86 | ||
Exhibit Index: | |||
Exhibit 23.1 – Consent of Independent Registered Public Accounting Firm | 87 |
Hewlett-Packard Company 401(k) Plan
|
||||||||
Statements of Net Assets Available for Benefits
|
||||||||
December 31
|
||||||||
2011
|
2010
|
|||||||
Assets
|
||||||||
Cash
|
$ | 363,201 | $ | 95,996,407 | ||||
Investments, at fair value
|
13,717,114,451 | 12,394,759,301 | ||||||
Receivables:
|
||||||||
Notes receivable from participants
|
224,531,689 | 216,675,830 | ||||||
Company contribution
|
41,048,166 | 40,192,858 | ||||||
Amount due from brokers for securities sold
|
181,590,682 | 29,530,187,605 | ||||||
Forward foreign currency contracts
|
2,735,043 | 4,349,106 | ||||||
Interest, dividends, and other
|
27,404,636 | 6,319,563 | ||||||
Total receivables
|
477,310,216 | 29,797,724,962 | ||||||
Total assets
|
14,194,787,868 | 42,288,480,670 | ||||||
|
||||||||
Liabilities
|
||||||||
Amount due to brokers for securities purchased
|
193,332,110 | 27,596,895,765 | ||||||
Forward foreign currency contracts payable
|
2,870,555 | 4,309,996 | ||||||
Administrative expenses and other payables
|
9,629,617 | 4,184,902 | ||||||
Total liabilities
|
205,832,282 | 27,605,390,663 | ||||||
|
||||||||
Net assets reflecting investments, at fair value
|
13,988,955,586 | 14,683,090,007 | ||||||
|
||||||||
Adjustment from fair value to contract value for fully | ||||||||
benefit-responsive investment contracts
|
– | 1,786,962 | ||||||
|
||||||||
Net assets available for benefits
|
$ | 13,988,955,586 | $ | 14,684,876,969 | ||||
See accompanying notes.
|
Hewlett-Packard Company 401(k) Plan
|
||||
Statement of Changes in Net Assets Available for Benefits
|
||||
Year Ended December 31, 2011
|
||||
Additions
|
||||
Investment income (loss):
|
||||
Interest and dividends
|
$ | 305,777,499 | ||
Net realized and unrealized depreciation in fair value of investments
|
(863,930,442 | ) | ||
|
(558,152,943 | ) | ||
Contributions:
|
||||
Participants
|
660,296,987 | |||
Company
|
256,556,923 | |||
Rollover
|
119,319,410 | |||
Total contributions
|
1,036,173,320 | |||
Interest income on notes receivable from participants
|
10,427,098 | |||
Other
|
1,351,612 | |||
Total additions
|
489,799,087 | |||
|
||||
Deductions
|
||||
Benefits paid directly to participants
|
1,150,396,243 | |||
Investment management fees
|
26,428,211 | |||
Administrative expenses and fees
|
8,896,016 | |||
Total deductions
|
1,185,720,470 | |||
|
||||
Net decrease
|
(695,921,383 | ) | ||
|
||||
Net assets available for benefits:
|
||||
Beginning of year
|
14,684,876,969 | |||
End of year
|
$ | 13,988,955,586 | ||
|
||||
See accompanying notes.
|
December 31
|
||||||||
2011
|
2010
|
|||||||
HP Common Stock
|
$ | 561,318,720 | * | $ | 926,242,647 | |||
Vanguard PRIMECAP ADM Fund
|
734,724,342 | 820,106,528 | ||||||
BTC RUSSELL 1000 Index Fund
|
1,293,779,452 | ** |
Registered investment companies
|
$ | (183,070,172 | ) | |
Common stock
|
(218,654,860 | ) | ||
Common collective trust funds
|
(138,648,685 | ) | ||
Company common stock
|
(333,997,550 | ) | ||
Corporate debt
|
10,440,825 | |||
Total net realized and unrealized depreciation in fair value of investments
|
$ | (863,930,442 | ) |
Fair Value Measurements as of December 31, 2011
|
||||||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
Assets
|
||||||||||||||||
Mutual funds:
|
||||||||||||||||
Index funds
|
$ | 4,037,335 | $ | – | $ | – | $ | 4,037,335 | ||||||||
Growth funds
|
1,561,225,969 | 43,087,359 | – | 1,604,313,328 | ||||||||||||
Fixed income funds
|
694,565,554 | 315,525,501 | – | 1,010,091,055 | ||||||||||||
Value funds
|
90,115,794 | – | – | 90,115,794 | ||||||||||||
Other funds
|
73,652,259 | – | – | 73,652,259 | ||||||||||||
Total mutual funds
|
2,423,596,911 | 358,612,860 | – | 2,782,209,771 | ||||||||||||
Self-directed brokerage accounts:
|
||||||||||||||||
Mutual funds:
|
||||||||||||||||
Index funds
|
14,131,187 | – | – | 14,131,187 | ||||||||||||
Growth funds
|
52,936,202 | – | – | 52,936,202 | ||||||||||||
Fixed income funds
|
111,096,467 | – | – | 111,096,467 | ||||||||||||
Value funds
|
31,617,985 | – | – | 31,617,985 | ||||||||||||
Industry specific funds
|
19,622,355 | – | – | 19,622,355 | ||||||||||||
Other funds
|
47,332,821 | – | – | 47,332,821 | ||||||||||||
Total self-directed brokerage account
|
276,737,017 | – | – | 276,737,017 |
Fair Value Measurements as of December 31, 2011
|
||||||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
Common collective trusts:
|
||||||||||||||||
Index funds
|
$ | – | $ | 2,573,846,644 | $ | – | $ | 2,573,846,644 | ||||||||
Growth funds
|
– | 443,295,485 | – | 443,295,485 | ||||||||||||
Other funds
|
– | 74,121,551 | – | 74,121,551 | ||||||||||||
Total common collective trusts
|
– | 3,091,263,680 | – | 3,091,263,680 | ||||||||||||
HP common stock
|
561,318,720 | – | – | 561,318,720 | ||||||||||||
Money market funds
|
– | 2,832,925 | – | 2,832,925 | ||||||||||||
Short-term investments
|
– | 540,119,388 | – | 540,119,388 | ||||||||||||
Common and preferred stocks:
|
||||||||||||||||
Automobiles and components
|
70,078,762 | – | – | 70,078,762 | ||||||||||||
Banks, insurance, and other financial institutions
|
503,978,935 | – | – | 503,978,935 | ||||||||||||
Consumer and capital goods
|
1,105,414,978 | – | – | 1,105,414,978 | ||||||||||||
Health care and pharmaceuticals
|
493,487,118 | – | – | 493,487,118 | ||||||||||||
Telecommunications and media
|
275,480,193 | – | – | 275,480,193 | ||||||||||||
Technology, hardware, and software
|
691,509,800 | – | – | 691,509,800 | ||||||||||||
Energy, transportation, and other utilities
|
577,148,726 | – | – | 577,148,726 | ||||||||||||
Hospitality and real estate
|
387,641,789 | – | – | 387,641,789 | ||||||||||||
Total common and preferred stocks
|
4,104,740,301 | – | – | 4,104,740,301 | ||||||||||||
Corporate debt:
|
||||||||||||||||
Banks, insurance, and other financial institutions
|
– | 439,499,649 | – | 439,499,649 | ||||||||||||
Consumer and capital goods
|
– | 66,580,081 | – | 66,580,081 | ||||||||||||
Health care, pharmaceuticals, and biotechnology
|
– | 43,358,762 | – | 43,358,762 | ||||||||||||
Technology, hardware, and equipment
|
– | 22,701,563 | – | 22,701,563 | ||||||||||||
Telecommunications and media
|
– | 95,668,985 | – | 95,668,985 | ||||||||||||
Energy, transportation, and other utilities
|
– | 76,252,822 | – | 76,252,822 | ||||||||||||
Real estate
|
– | 9,300,387 | – | 9,300,387 | ||||||||||||
Total corporate debt
|
– | 753,362,249 | – | 753,362,249 | ||||||||||||
Foreign obligations
|
– | 41,707,043 | – | 41,707,043 |
Fair Value Measurements as of December 31, 2011
|
||||||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
U.U.S. government securities:
|
||||||||||||||||
Federal
|
$ | – | $ | 1,473,360,372 | $ | – | $ | 1,473,360,372 | ||||||||
State
|
– | 28,708,484 | – | 28,708,484 | ||||||||||||
Municipal
|
– | 48,765,264 | – | 48,765,264 | ||||||||||||
Total U.S. government securities
|
– | 1,550,834,120 | – | 1,550,834,120 | ||||||||||||
Guaranteed investment contracts
|
– | 11,989,237 | – | 11,989,237 | ||||||||||||
Total investments
|
7,366,392,949 | 6,350,721,502 | – | 13,717,114,451 | ||||||||||||
Derivative assets
|
830,696 | 3,008,067 | – | 3,838,763 | ||||||||||||
Amount due from brokers for securities sold
|
181,590,682 | – | – | 181,590,682 | ||||||||||||
Total assets measured at fair value
|
$ | 7,548,814,327 | $ | 6,353,729,569 | $ | – | $ | 13,902,543,896 | ||||||||
Liabilities
|
||||||||||||||||
Derivative liabilities
|
$ | 96,226 | $ | 2,870,555 | $ | – | $ | 2,966,781 | ||||||||
Amount due to brokers for securities purchased
|
193,332,110 | – | – | 193,332,110 | ||||||||||||
Total liabilities measured at fair value
|
$ | 193,428,336 | $ | 2,870,555 | $ | – | $ | 196,298,891 |
Fair Value Measurements as of December 31, 2010
|
||||||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
Assets
|
||||||||||||||||
Mutual funds:
|
||||||||||||||||
Index funds
|
$ | 806,641,582 | $ | – | $ | – | $ | 806,641,582 | ||||||||
Growth funds
|
2,199,417,974 | 36,487,759 | – | 2,235,905,733 | ||||||||||||
Fixed income funds
|
653,102,787 | 390,568,664 | – | 1,043,671,451 | ||||||||||||
Value funds
|
99,872,623 | – | – | 99,872,623 | ||||||||||||
Other funds
|
25,000,000 | – | – | 25,000,000 | ||||||||||||
Total mutual funds
|
3,784,034,966 | 427,056,423 | – | 4,211,091,389 | ||||||||||||
Common collective trusts:
|
||||||||||||||||
Benefit responsive
|
– | 109,898,140 | – | 109,898,140 | ||||||||||||
Growth funds
|
– | 291,331,604 | – | 291,331,604 | ||||||||||||
Fixed income funds
|
– | 747,873,726 | – | 747,873,726 | ||||||||||||
Other funds
|
– | 25,000,000 | – | 25,000,000 | ||||||||||||
Total common collective trusts
|
– | 1,174,103,470 | – | 1,174,103,470 | ||||||||||||
HP common stock
|
926,242,647 | – | – | 926,242,647 | ||||||||||||
Money market funds
|
– | 409,204,895 | – | 409,204,895 | ||||||||||||
Short-term investments
|
– | 95,202,013 | – | 95,202,013 |
Fair Value Measurements as of December 31, 2010
|
||||||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
Common and preferred stocks:
|
||||||||||||||||
Automobiles and components
|
$ | 52,692,030 | $ | – | $ | – | $ | 52,692,030 | ||||||||
Banks, insurance, and other financial institutions
|
1,118,421,099 | – | – | 1,118,421,099 | ||||||||||||
Consumer and capital goods
|
1,268,013,574 | – | – | 1,268,013,574 | ||||||||||||
Health care and pharmaceuticals
|
505,015,477 | – | – | 505,015,477 | ||||||||||||
Telecommunications and media
|
221,717,033 | – | – | 221,717,033 | ||||||||||||
Technology, hardware, and software
|
831,193,141 | – | – | 831,193,141 | ||||||||||||
Energy, transportation, and other utilities
|
648,391,939 | – | – | 648,391,939 | ||||||||||||
Hospitality and real estate
|
366,020,304 | – | – | 366,020,304 | ||||||||||||
Other
|
2,480,935 | – | – | 2,480,935 | ||||||||||||
Total common and preferred stocks
|
5,013,945,532 | – | – | 5,013,945,532 | ||||||||||||
Corporate debt:
|
||||||||||||||||
Banks, insurance, and other financial institutions
|
– | 98,166,806 | – | 98,166,806 | ||||||||||||
Consumer and capital goods
|
– | 22,859,762 | – | 22,859,762 | ||||||||||||
Health care, pharmaceuticals, and biotechnology
|
– | 13,128,645 | – | 13,128,645 | ||||||||||||
Technology, hardware, and equipment
|
– | 10,454,278 | – | 10,454,278 | ||||||||||||
Telecommunications and media
|
– | 32,727,305 | – | 32,727,305 | ||||||||||||
Energy, transportation, and other utilities
|
– | 18,307,452 | – | 18,307,452 | ||||||||||||
Real estate
|
– | 2,668,102 | – | 2,668,102 | ||||||||||||
Other
|
– | 4,157,969 | – | 4,157,969 | ||||||||||||
Total corporate debt
|
– | 202,470,319 | – | 202,470,319 | ||||||||||||
Foreign obligations
|
– | 1,591,455 | – | 1,591,455 | ||||||||||||
U.S. government securities:
|
||||||||||||||||
Federal
|
– | 331,108,147 | – | 331,108,147 | ||||||||||||
State
|
– | 15,168,992 | – | 15,168,992 | ||||||||||||
Municipal
|
– | 3,362,833 | – | 3,362,833 | ||||||||||||
Total U.S. government securities
|
– | 349,639,972 | – | 349,639,972 | ||||||||||||
Guaranteed investment contracts
|
– | 11,267,609 | – | 11,267,609 | ||||||||||||
Total investments
|
9,724,223,145 | 2,670,536,156 | – | 12,394,759,301 | ||||||||||||
Derivative assets
|
28,949 | 4,394,519 | – | 4,423,468 | ||||||||||||
Amount due from brokers for securities sold
|
29,530,187,605 | – | – | 29,530,187,605 | ||||||||||||
Total assets measured at fair value
|
$ | 39,254,439,699 | $ | 2,674,930,675 | $ | – | $ | 41,929,370,374 |
Fair Value Measurements as of December 31, 2010
|
||||||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
Liabilities
|
||||||||||||||||
Derivative liabilities
|
$ | 33,869 | $ | 4,310,164 | $ | – | $ | 4,344,033 | ||||||||
Amount due to brokers for securities purchased
|
27,596,895,765 | – | – | 27,596,895,765 | ||||||||||||
Total liabilities measured at fair value
|
$ | 27,596,929,634 | $ | 4,310,164 | $ | – | $ | 27,601,239,798 |
Based on actual earnings
|
1.27%
|
Based on interest rate credited to participants
|
1.32%
|
December 31
|
||||||||
2011
|
2010
|
|||||||
Forward foreign currency exchange
|
$ | 10,100,919 | $ | 1,178,178 | ||||
Financial futures
|
153,037,262 | 135,000,000 | ||||||
Interest rate swaps
|
11,200,000 | 3,121,615 | ||||||
Financial options
|
156,500,000 | (28,800,000 | ) | |||||
Credit default swaps
|
10,466,000 | 134,155 | ||||||
Total
|
$ | 341,304,181 | $ | 110,633,948 |
December 31
|
||||||||
2011
|
2010
|
|||||||
South Korean won
|
$ | 138,993 | $ | 203,163 | ||||
Philippine peso
|
(101,510 | ) | 100,479 | |||||
Chinese yuan
|
(438,459 | ) | 422,615 | |||||
Mexican peso
|
(91,788 | ) | 197,982 | |||||
Singapore dollar
|
(2,971,130 | ) | 364,817 | |||||
British pound
|
(159,603 | ) | (3,712 | ) | ||||
Japanese yen
|
10,303,518 | (1,834 | ) | |||||
Australian dollar
|
(4,493,975 | ) | (57 | ) | ||||
Canadian dollar
|
(22,619,265 | ) | (103,658 | ) | ||||
Euro
|
28,734,659 | (1,617 | ) | |||||
Brazilian real
|
444,198 | – | ||||||
Indian rupee
|
(149,973 | ) | – | |||||
Swiss franc | (921,232 | ) | – | |||||
Danish crone | (3,698 | ) | – | |||||
Hong Kong dollar | 169,337 | – | ||||||
Norwegian krone | 1,246,315 | – | ||||||
New Zealand dollar | 856,213 | – | ||||||
Israeli shekels | 189,236 | – | ||||||
Swedish krona | 32,363 | – | ||||||
South African rand | (63,280 | ) | – | |||||
Total
|
$ | 10,100,919 | $ | 1,178,178 |
December 31, 2011
|
December 31, 2010
|
||||||||||||||||
Derivative
Asset
|
Derivative
Liability
|
Derivative
Asset
|
Derivative
Liability
|
||||||||||||||
Forward foreign currency exchange
|
$ | 2,735,043 | $ | 2,870,555 | $ | 4,349,106 | $ | 4,309,996 | |||||||||
Financial futures
|
615,876 | – | 22,125 | – | |||||||||||||
Interest rate swaps
|
273,024 | – | 45,413 | – | |||||||||||||
Financial options
|
– | 96,226 | 6,824 | 33,869 | |||||||||||||
Credit default swap
|
214,820 | – | – | 168 | |||||||||||||
Total
|
$ | 3,838,763 | $ | 2,966,781 | $ | 4,423,468 | $ | 4,344,033 |
Forward foreign currency exchange
|
$ | 2,103 | |||
Financial futures
|
668,006 | ||||
Financial options
|
185,595 | ||||
Interest rate and credit default swaps
|
564,381 | ||||
Total
|
$ | 1,420,085 |
December 31
|
|||||||||
2011
|
2010
|
||||||||
Net assets available for benefits per the financial statements
|
$ | 13,988,955,586 | $ | 14,684,876,969 | |||||
Less: Adjustment from fair value to contract value for fully benefit-responsive | |||||||||
investment contracts
|
– | (1,786,962 | ) | ||||||
Net assets available for benefits per the Form 5500
|
$ | 13,988,955,586 | $ | 14,683,090,007 |
Net investment loss per the financial statements (excluding interest income | ||||
from notes receivable from participants)
|
$ | (558,152,943 | ) | |
Add: Prior year adjustment from fair value to contract value for fully | ||||
benefit-responsive investment contracts
|
1,786,962 | |||
Net investment loss per the Form 5500
|
$ | (556,365,981 | ) |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year)
|
||||||||||||
December 31, 2011
|
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
|||||||||||
Money market funds
|
||||||||||||||
* |
FIDELITY INSTITUTIONAL CASH PORT
|
2,832,925 |
shares
|
$ | 2,832,925 | |||||||||
Short-term investments
|
||||||||||||||
VANGUARD PRIME MONEY MARKET
|
400,849,464 |
shares
|
400,849,464 | |||||||||||
WACHOVIA BK NA BN 6 11/15
|
725,000 |
shares
|
800,761 | |||||||||||
INTEREST-BEARING CASH
|
1,956,469,377 |
shares
|
138,469,163 | |||||||||||
540,119,388 | ||||||||||||||
Registered investment companies
|
||||||||||||||
CRM MID CAP VALUE FD INST
|
3,404,450 |
shares
|
90,115,794 | |||||||||||
DODGE & COX INTL STOCK FD
|
14,734,305 |
shares
|
430,831,093 | |||||||||||
* |
FIDELITY LOW PRICED STOCK
|
7,047,188 |
shares
|
251,796,043 | ||||||||||
HIGHBRIDGE DYNA COMM STR
|
4,297,098 |
shares
|
73,652,259 | |||||||||||
HIGH YIELD PORTFOLIO INST
|
1,339,153 |
shares
|
9,615,116 | |||||||||||
MFS INTL NEW DISCOVERY FD
|
7,211,754 |
shares
|
143,874,491 | |||||||||||
PIMCO ASSET BACK SECS POR
|
2,206,040 |
shares
|
22,611,909 | |||||||||||
PIMCO EMMERG MKTS FD INST
|
1,437,258 |
shares
|
14,185,732 | |||||||||||
PIMCO HIGH YIELD FUND
|
34,148,027 |
shares
|
306,649,283 | |||||||||||
PIMCO INTL PORT FUND (UNLISTED)
|
5,611,966 |
shares
|
28,901,627 | |||||||||||
PIMCO INV GRD PORT (UNLISTED)
|
5,933,764 |
shares
|
60,702,404 | |||||||||||
PIMCO MTG PORT INSTL CL (UNLISTED)
|
10,342,732 |
shares
|
113,046,061 | |||||||||||
PIMCO MUNI SECTR PORT INST
|
698,070 |
shares
|
5,877,753 | |||||||||||
PIMCO REAL RETRN BD FD INST
|
4,320,673 |
shares
|
41,089,598 | |||||||||||
PIMCO REAL RETURN BD FD INST
|
32,086,612 |
shares
|
378,301,155 | |||||||||||
PIMCO SHORT TERM PORT INST
|
1,283,508 |
shares
|
11,217,861 | |||||||||||
PIMCO US GOVT SECTOR PORT
|
6,985,099 |
shares
|
60,979,915 | |||||||||||
SPDR S&P 500 ETF TRUST
|
32,170 |
shares
|
4,037,335 | |||||||||||
VANGUARD PRIMECAP ADMIRAL
|
11,472,897 |
shares
|
734,724,342 | |||||||||||
2,782,209,771 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock
|
||||||||||||||
3M CO
|
100,700 |
shares
|
$ | 8,230,211 | ||||||||||
AAR CORP
|
99,600 |
shares
|
1,909,332 | |||||||||||
ABB LTD (REG) (SWIT)
|
243,452 |
shares
|
4,583,114 | |||||||||||
ABERTIS INFRAESTRUCTURAS
|
9,999 |
shares
|
159,713 | |||||||||||
ABOITIZ POWER CORP
|
449,100 |
shares
|
306,298 | |||||||||||
ACADIA RLTY TR REIT
|
28,909 |
shares
|
582,227 | |||||||||||
ACCENTURE PLC CL A
|
83,994 |
shares
|
4,471,001 | |||||||||||
ACCIONA SA
|
9,105 |
shares
|
786,447 | |||||||||||
ACE LTD
|
76,251 |
shares
|
5,346,720 | |||||||||||
ACHILLION PHARMACEUTICALS
|
32,510 |
shares
|
247,726 | |||||||||||
ACME PACKET INC
|
93,000 |
shares
|
2,874,630 | |||||||||||
ACS ACTIVIDADES CONST Y S
|
12,888 |
shares
|
382,023 | |||||||||||
ACTELION LTD (REGD)
|
17,591 |
shares
|
604,067 | |||||||||||
ACTIVISION BLIZZARD INC
|
60,550 |
shares
|
745,976 | |||||||||||
ACTUANT CORP CL A
|
20,638 |
shares
|
468,276 | |||||||||||
ADARO ENERGY PT
|
900,000 |
shares
|
175,682 | |||||||||||
ADIDAS AG
|
110,056 |
shares
|
7,159,863 | |||||||||||
ADOBE SYSTEMS INC
|
80,000 |
shares
|
2,261,600 | |||||||||||
ADTRAN INC
|
159,660 |
shares
|
4,815,346 | |||||||||||
ADVANCE RESID INV CRP NEW
|
136 |
shares
|
262,405 | |||||||||||
ADVANCED INFO SVCS (LOC)
|
654,500 |
shares
|
2,910,040 | |||||||||||
ADVANTEST CORP
|
15,600 |
shares
|
148,571 | |||||||||||
ADVISORY BOARD CO
|
80,000 |
shares
|
5,936,800 | |||||||||||
AEGON NV
|
402,696 |
shares
|
1,616,395 | |||||||||||
AEGON NV (NY REGD)
|
673,085 |
shares
|
2,705,802 | |||||||||||
AEON CO LTD
|
169,800 |
shares
|
2,331,951 | |||||||||||
AERCAP HOLDINGS NV
|
420,000 |
shares
|
4,741,800 | |||||||||||
AETNA INC
|
63,725 |
shares
|
2,688,558 | |||||||||||
AFC ENTERPRISES INC
|
22,330 |
shares
|
328,251 | |||||||||||
AFFILIATED MANAGERS GRP
|
14,749 |
shares
|
1,415,167 | |||||||||||
AFLAC INC
|
56,940 |
shares
|
2,463,224 | |||||||||||
AFRICAN RAINBOW MINERALS
|
47,461 |
shares
|
1,005,355 | |||||||||||
AGEAS (BELG)
|
343,827 |
shares
|
534,060 | |||||||||||
AGILENT TECHNOLOGIES INC
|
218,254 |
shares
|
7,623,612 | |||||||||||
AGL ENERGY LTD
|
65,465 |
shares
|
959,362 | |||||||||||
AHOLD NV (KONINKLIJKE)
|
139,892 |
shares
|
1,884,098 | |||||||||||
AIR GAS INC
|
25,137 |
shares
|
1,962,697 | |||||||||||
AIR PRODUCTS & CHEMICALS
|
51,287 |
shares
|
4,369,140 | |||||||||||
AISIN SEIKI CO LTD
|
62,400 |
shares
|
1,778,803 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
AIXTRON SE
|
229,655 |
shares
|
$ | 2,928,065 | ||||||||||
AJINOMOTO CO INC
|
114,000 |
shares
|
1,368,622 | |||||||||||
AKER SOLUTIONS ASA
|
18,465 |
shares
|
194,378 | |||||||||||
ALCATEL-LUCENT
|
235,611 |
shares
|
368,105 | |||||||||||
ALERE INC
|
116,000 |
shares
|
2,678,440 | |||||||||||
ALEXANDRIA REAL ES EQ REIT
|
27,900 |
shares
|
1,924,263 | |||||||||||
ALEXION PHARMACEUTICALS
|
68,867 |
shares
|
4,923,991 | |||||||||||
ALFA LAVAL AB
|
282,124 |
shares
|
5,346,535 | |||||||||||
ALFA SAB DE CV CL A
|
24,700 |
shares
|
269,042 | |||||||||||
ALIMENTATION COUCH C CL B
|
43,831 |
shares
|
1,364,339 | |||||||||||
ALKERMES PLC
|
77,398 |
shares
|
1,343,629 | |||||||||||
ALLEGIANT TRAVEL CO
|
91,351 |
shares
|
4,872,662 | |||||||||||
ALLERGAN INC
|
108,495 |
shares
|
9,519,351 | |||||||||||
ALLIANCE DATA SYS CORP
|
112,500 |
shares
|
11,682,000 | |||||||||||
ALLIED WRLD ASSURNCE HLDG
|
16,060 |
shares
|
1,010,656 | |||||||||||
ALLSCRIPTS HLTHCARE SOLS
|
55,102 |
shares
|
1,043,632 | |||||||||||
ALLSTATE CORPORATION
|
162,000 |
shares
|
4,440,420 | |||||||||||
ALSTRIA OFFICE REIT-AG
|
30,329 |
shares
|
361,015 | |||||||||||
ALTERA CORP
|
90,819 |
shares
|
3,369,385 | |||||||||||
ALTERRA CAPITAL HLDGS LTD
|
157,000 |
shares
|
3,709,910 | |||||||||||
ALTRIA GROUP INC
|
36,563 |
shares
|
1,084,093 | |||||||||||
AMADA CO LTD
|
8,000 |
shares
|
50,724 | |||||||||||
AMADEUS IT HLDGS SA CL A
|
32,138 |
shares
|
521,449 | |||||||||||
AMAZON.COM INC
|
135,822 |
shares
|
23,510,788 | |||||||||||
AMC NETWORKS INC CL A
|
53,750 |
shares
|
2,019,925 | |||||||||||
AMDOCS LTD
|
215,000 |
shares
|
6,133,950 | |||||||||||
AMERICAN ELECTRIC POWER C
|
172,645 |
shares
|
7,131,965 | |||||||||||
AMERICAN EXPRESS CO
|
491,053 |
shares
|
23,162,970 | |||||||||||
AMERICAN TOWER CL A (OLD)
|
182,745 |
shares
|
10,966,527 | |||||||||||
AMERIPRISE FINANCIAL INC
|
155,142 |
shares
|
7,701,249 | |||||||||||
AMETEK INC NEW
|
17,612 |
shares
|
741,465 | |||||||||||
AMGEN INC
|
394,830 |
shares
|
25,352,034 | |||||||||||
AMOREPACIFIC NEW
|
208 |
shares
|
188,302 | |||||||||||
AMPHENOL CORPORATION CL A
|
16,369 |
shares
|
742,989 | |||||||||||
AMYLIN PHARMACEUTICALS
|
89,703 |
shares
|
1,020,820 | |||||||||||
ANADARKO PETROLEUM CORP
|
210,781 |
shares
|
16,088,914 | |||||||||||
ANHEUSER BUSCH IV SA NV S
|
68,230 |
shares
|
4,161,348 | |||||||||||
ANIXTER INTL INC
|
52,366 |
shares
|
3,123,108 | |||||||||||
ANSYS INC
|
44,047 |
shares
|
2,523,012 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
ANTOFAGASTA PLC
|
53,734 |
shares
|
$ | 1,014,002 | ||||||||||
AOL INC
|
75,000 |
shares
|
1,132,500 | |||||||||||
AON CORP
|
113,868 |
shares
|
5,329,022 | |||||||||||
APACHE CORP
|
24,501 |
shares
|
2,219,301 | |||||||||||
APARTMENT INV & MGMT CO A
|
80,409 |
shares
|
1,842,170 | |||||||||||
APPLE INC
|
151,887 |
shares
|
61,514,235 | |||||||||||
APPLIED INDU TECH INC
|
69,200 |
shares
|
2,433,764 | |||||||||||
APTARGROUP INC
|
38,948 |
shares
|
2,031,917 | |||||||||||
ARDEA BIOSCIENCES INC
|
19,640 |
shares
|
330,148 | |||||||||||
ARKEMA
|
21,457 |
shares
|
1,519,235 | |||||||||||
ARM HOLDINGS PLC
|
1,391,499 |
shares
|
12,794,343 | |||||||||||
ARM HOLDINGS PLC SPON ADR
|
117,454 |
shares
|
3,249,952 | |||||||||||
ARYZTA AG
|
20,276 |
shares
|
980,174 | |||||||||||
ASAHI GLASS CO LTD
|
95,000 |
shares
|
797,375 | |||||||||||
ASAHI GROUP HOLDINGS LTD
|
11,700 |
shares
|
256,909 | |||||||||||
ASAHI KASEI CORP
|
75,000 |
shares
|
452,154 | |||||||||||
ASCENA RETAIL GROUP INC
|
118,190 |
shares
|
3,512,607 | |||||||||||
ASCENDAS REAL ESTATE INVE
|
194,000 |
shares
|
273,692 | |||||||||||
ASHFORD HOSPITALITY TR
|
30,910 |
shares
|
247,280 | |||||||||||
ASM PACIFIC TECH LTD
|
26,100 |
shares
|
292,871 | |||||||||||
ASML HLDG NV (NY REG SHS)
|
87,367 |
shares
|
3,651,067 | |||||||||||
ASML HOLDING NV (NETH)
|
59,049 |
shares
|
2,482,163 | |||||||||||
ASSISTED LIVING CON CL A
|
16,148 |
shares
|
240,444 | |||||||||||
ASTRA AGRO LESTARI TBK (D)
|
281,000 |
shares
|
672,479 | |||||||||||
ASTRA INTL TBK PT (DEMAT)
|
243,500 |
shares
|
1,987,207 | |||||||||||
ASTRAZENECA PLC (UK)
|
163,614 |
shares
|
7,559,983 | |||||||||||
ASTRAZENECA PLC SPONS ADR
|
4,515 |
shares
|
208,999 | |||||||||||
AT&T INC
|
675,513 |
shares
|
20,427,513 | |||||||||||
ATHABASCA OIL SANDS CORP
|
29,068 |
shares
|
356,500 | |||||||||||
ATHENAHEALTH INC
|
5,830 |
shares
|
286,370 | |||||||||||
ATLAS AIR WORLD
|
43,200 |
shares
|
1,660,176 | |||||||||||
ATLAS COPCO AB SER A
|
742,039 |
shares
|
15,960,379 | |||||||||||
ATRIUM EUROPEAN REAL ESTA
|
24,073 |
shares
|
108,499 | |||||||||||
ATRIUM LJUNGBERG AB B
|
14,934 |
shares
|
158,979 | |||||||||||
ATWOOD OCEANICS INC
|
23,350 |
shares
|
929,097 | |||||||||||
AUTOGRILL SPA
|
3,868 |
shares
|
37,751 | |||||||||||
AUTOMATIC DATA PROCESSING
|
88,813 |
shares
|
4,796,790 | |||||||||||
AVAGO TECHNOLOGIES LTD
|
158,108 |
shares
|
4,562,997 | |||||||||||
AVALONBAY COMMUNITIES REI
|
84,845 |
shares
|
11,080,757 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
AVIVA PLC
|
324,484 |
shares
|
$ | 1,515,949 | ||||||||||
AVON PRODUCTS INC
|
188,000 |
shares
|
3,284,360 | |||||||||||
AXA SA
|
343,441 |
shares
|
4,465,505 | |||||||||||
AXEL SPRINGER AG
|
57,155 |
shares
|
2,456,553 | |||||||||||
B2W COMPANHIA GLOBAL DO V
|
60,700 |
shares
|
293,205 | |||||||||||
BAE SYSTEMS PLC
|
635,174 |
shares
|
2,812,570 | |||||||||||
BAIDU INC SPON ADR
|
268,887 |
shares
|
31,317,269 | |||||||||||
BAKER HUGHES INC
|
328,176 |
shares
|
15,962,481 | |||||||||||
BALL CORP
|
41,900 |
shares
|
1,496,249 | |||||||||||
BALLY TECHNOLOGIES INC
|
120,500 |
shares
|
4,766,980 | |||||||||||
BALOISE HOLDINGS AG
|
18,752 |
shares
|
1,285,874 | |||||||||||
BANCA MONTE DEI PASCH SIE
|
768,672 |
shares
|
250,633 | |||||||||||
BANCO COMERCIAL PORTUGUE
|
2,059,446 |
shares
|
362,542 | |||||||||||
BANCO ESPIRITO SANTO
|
219,132 |
shares
|
382,920 | |||||||||||
BANCO SANTANDER SA (SPAIN)
|
1,229,330 |
shares
|
9,340,607 | |||||||||||
BANGKOK BNK PUBLIC CO LTD
|
49,900 |
shares
|
258,975 | |||||||||||
BANK OF AMERICA CORPORATION
|
2,295,140 |
shares
|
12,760,978 | |||||||||||
BANK OF CYPRUS PCL (CYPR)
|
207,729 |
shares
|
164,020 | |||||||||||
BANK OF NEW YORK MELLON
|
400,000 |
shares
|
7,964,000 | |||||||||||
BANK RAKYAT INDONESIA TBK
|
183,000 |
shares
|
136,228 | |||||||||||
BANKIA SA
|
93,957 |
shares
|
437,217 | |||||||||||
BARRICK GOLD CORP (USD)
|
30,240 |
shares
|
1,368,360 | |||||||||||
BB&T CORP
|
304,430 |
shares
|
7,662,503 | |||||||||||
BE AEROSPACE INC
|
22,164 |
shares
|
857,968 | |||||||||||
BEACON ROOFING SUPPLY INC
|
121,700 |
shares
|
2,461,991 | |||||||||||
BEAM INC
|
43,300 |
shares
|
2,218,259 | |||||||||||
BEBIDAS DAS AM (CIA) PFD S
|
183,820 |
shares
|
6,634,064 | |||||||||||
BEC WORLD PLC (LOC)
|
342,100 |
shares
|
487,168 | |||||||||||
BED BATH & BEYOND INC
|
95,744 |
shares
|
5,550,280 | |||||||||||
BEFIMMO SCA SICAFI
|
905 |
shares
|
58,900 | |||||||||||
BEKAERT SA
|
16,579 |
shares
|
531,883 | |||||||||||
BELLE INTERNATION AL HLDGS
|
1,374,000 |
shares
|
2,395,380 | |||||||||||
BENI STABILI SPA SIIQ
|
723,347 |
shares
|
323,773 | |||||||||||
BERKLEY (WR) CORP
|
125,000 |
shares
|
4,298,750 | |||||||||||
BERRY PETROLEUM CO CL A
|
20,600 |
shares
|
865,612 | |||||||||||
BG GROUP PLC
|
198,061 |
shares
|
4,234,368 | |||||||||||
BGP HOLDINGS PLC (UNLIST)
|
1,317,017 |
shares
|
17 | |||||||||||
BHP BILLITON PLC
|
382,137 |
shares
|
11,143,264 | |||||||||||
BHP BILLITON SPON ADR
|
70,163 |
shares
|
4,955,613 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
BIG YELLOW GROUP PLC
|
104,598 |
shares
|
$ | 398,506 | ||||||||||
BIM BIRLESIK MAGAZALAR AS
|
40,569 |
shares
|
1,129,906 | |||||||||||
BIO RAD LABS CL A
|
35,000 |
shares
|
3,361,400 | |||||||||||
BIOGEN IDEC INC
|
4,350 |
shares
|
478,718 | |||||||||||
BIOMED REALTY TRUST INC
|
5,615 |
shares
|
101,519 | |||||||||||
BLACKROCK INC
|
7,131 |
shares
|
1,271,029 | |||||||||||
BLOCK H & R INC
|
216,000 |
shares
|
3,527,280 | |||||||||||
BM&F BOVESPA SA
|
1,322,000 |
shares
|
6,953,413 | |||||||||||
BMC SOFTWARE INC
|
89,600 |
shares
|
2,937,088 | |||||||||||
BMW AG (BAYER MTR WKS)
|
45,513 |
shares
|
3,049,287 | |||||||||||
BNP PARIBAS (FRAN)
|
61,953 |
shares
|
2,433,826 | |||||||||||
BOARDWALK REIT UNIT
|
12,840 |
shares
|
635,948 | |||||||||||
BOEING CO
|
278,873 |
shares
|
20,455,335 | |||||||||||
BOLIDEN AB (SWED)
|
25,563 |
shares
|
373,364 | |||||||||||
BORGWARNER INC
|
80,551 |
shares
|
5,134,321 | |||||||||||
BOSTON PPTY CV
|
275,000 |
shares
|
275,000 | |||||||||||
BOSTON PROPERTIES INC
|
113,633 |
shares
|
11,317,847 | |||||||||||
BOSTON SCIENTIFIC CORP
|
725,000 |
shares
|
3,871,500 | |||||||||||
BOUYGUES ORD
|
9,302 |
shares
|
293,126 | |||||||||||
BR MALLS PARTICIPACOES SA
|
43,000 |
shares
|
418,184 | |||||||||||
BR PROPERTIES SA
|
23,800 |
shares
|
236,314 | |||||||||||
BRAMBLES LTD
|
830,333 |
shares
|
6,079,843 | |||||||||||
BRANDYWINE REALTY TRUST
|
198,800 |
shares
|
1,888,600 | |||||||||||
BRASIL FOODS SA SPON ADR
|
69,406 |
shares
|
1,356,887 | |||||||||||
BRASIL TELECOM SA SPON
|
17,817 |
shares
|
316,964 | |||||||||||
BRE PROPERTIES INC
|
42,320 |
shares
|
2,136,314 | |||||||||||
BRIDGESTONE CORP
|
98,100 |
shares
|
2,224,186 | |||||||||||
BRISTOL-MYERS SQUIBB CO
|
260,036 |
shares
|
9,163,669 | |||||||||||
BRISTOW GROUP INC
|
50,289 |
shares
|
2,383,196 | |||||||||||
BRITISH AMER TOBACCO PLC
|
175,777 |
shares
|
8,341,761 | |||||||||||
BRITISH AMERICAN TOB PLC
|
11,105 |
shares
|
1,053,642 | |||||||||||
BRITISH LAND CO PLC
|
319,980 |
shares
|
2,298,518 | |||||||||||
BRITISH SKY BROADCAST GRP
|
21,979 |
shares
|
250,051 | |||||||||||
BROADCOM CORP CL A
|
71,732 |
shares
|
2,106,052 | |||||||||||
BROOKDALE SENIOR LIVING
|
220,000 |
shares
|
3,825,800 | |||||||||||
BROOKFIELD OFFICE PPTYS
|
3,800 |
shares
|
90,746 | |||||||||||
BROOKFIELD PROP (USD)
|
232,966 |
shares
|
3,643,588 | |||||||||||
BROTHER INDUSTRIES
|
74,500 |
shares
|
914,734 | |||||||||||
BROWN & BROWN INC
|
116,500 |
shares
|
2,636,395 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
BRUKER CORP
|
275,000 |
shares
|
$ | 3,415,500 | ||||||||||
BT GROUP PLC SPON ADR
|
84,208 |
shares
|
2,495,925 | |||||||||||
BUENAVENTURA SPON ADR
|
34,403 |
shares
|
1,319,011 | |||||||||||
BUFFALO WILD WINGS INC
|
10,554 |
shares
|
712,501 | |||||||||||
BURBERRY GROUP PLC
|
332,982 |
shares
|
6,128,476 | |||||||||||
C&J ENERGY SERVICES INC
|
68,900 |
shares
|
1,442,077 | |||||||||||
CABLE & WIRELESS WORLDWIDE
|
772,627 |
shares
|
195,001 | |||||||||||
CABLEVISION SYS NY GRP A
|
121,000 |
shares
|
1,720,620 | |||||||||||
CABOT CORP
|
152,600 |
shares
|
4,904,564 | |||||||||||
CABOT MICROELECTRONICS
|
46,500 |
shares
|
2,197,125 | |||||||||||
CABOT OIL & GAS CORP
|
15,061 |
shares
|
1,143,130 | |||||||||||
CADENCE DESIGN SYS INC
|
200,000 |
shares
|
2,080,000 | |||||||||||
CAIXABANK SA
|
106,985 |
shares
|
525,537 | |||||||||||
CALLEBAUT (BARRY) AG
|
70 |
shares
|
68,983 | |||||||||||
CALLOWAY REAL EST INVT TR
|
38,964 |
shares
|
1,024,221 | |||||||||||
CALTEX AUSTRALIA LTD
|
12,643 |
shares
|
152,179 | |||||||||||
CAMDEN PROPERTY TR - REIT
|
14,069 |
shares
|
875,655 | |||||||||||
CANADIAN NATL RAILWAY CO
|
4,059 |
shares
|
319,451 | |||||||||||
CANADIAN PAC RAILWAY
|
77,500 |
shares
|
5,244,425 | |||||||||||
CANADIAN REAL INVEST TR R
|
7,400 |
shares
|
257,227 | |||||||||||
CANADIAN TIRE LTD A
|
3,057 |
shares
|
197,816 | |||||||||||
CANADIAN UTIL NON VT CL A
|
5,156 |
shares
|
311,567 | |||||||||||
CANON INC
|
133,600 |
shares
|
5,919,262 | |||||||||||
CAPITACOMMERCIAL TR REIT
|
1,193,000 |
shares
|
970,293 | |||||||||||
CAPITAL & REGIONAL PLC
|
299,548 |
shares
|
147,715 | |||||||||||
CAPITAL AND COUNTIES PROP
|
49,243 |
shares
|
141,185 | |||||||||||
CAPITAL ONE FIN CORP
|
325,000 |
shares
|
13,744,250 | |||||||||||
CAPITAL SHOPPING CENTR GR
|
88,143 |
shares
|
427,537 | |||||||||||
CAPITAL SR LIVING CORP
|
5,650 |
shares
|
44,861 | |||||||||||
CAPITALAND LTD
|
1,553,300 |
shares
|
2,646,412 | |||||||||||
CAPITAMALL TRUST REIT
|
776,700 |
shares
|
1,017,916 | |||||||||||
CAPITAMALLS ASIA LTD
|
93,000 |
shares
|
81,016 | |||||||||||
CARBO CERAMICS INC
|
4,283 |
shares
|
528,222 | |||||||||||
CARDINAL HEALTH INC
|
26,370 |
shares
|
1,070,886 | |||||||||||
CARLISLE COS INC
|
55,000 |
shares
|
2,436,500 | |||||||||||
CARMAX INC
|
60,000 |
shares
|
1,828,800 | |||||||||||
CARNIVAL CORP PAIRED CTF
|
120,930 |
shares
|
3,947,155 | |||||||||||
CASTELLUM AB
|
34,675 |
shares
|
429,853 | |||||||||||
CATALYST HEALTH SOLUTIONS
|
163,757 |
shares
|
8,515,364 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
CELANESE CORP SER A
|
83,275 |
shares
|
$ | 3,686,584 | ||||||||||
CELESIO AG
|
4,771 |
shares
|
75,589 | |||||||||||
CELGENE CORP
|
169,168 |
shares
|
11,435,757 | |||||||||||
CELLTRION INC
|
81,841 |
shares
|
2,556,541 | |||||||||||
CEMEX SAB DE CV SPON ADR
|
250,000 |
shares
|
1,347,500 | |||||||||||
CEMIG NON-VTG PREF SPON A
|
192,086 |
shares
|
3,417,210 | |||||||||||
CENTENE CORP
|
60,941 |
shares
|
2,412,654 | |||||||||||
CFS RETAIL PROPERTY TRUST
|
418,637 |
shares
|
721,381 | |||||||||||
CGG VERITAS SPON ADR
|
7,279 |
shares
|
169,018 | |||||||||||
CGI GROUPE CL A SUB VTG
|
27,151 |
shares
|
511,881 | |||||||||||
CHAROEN POKPHAND FDS PCL
|
66,100 |
shares
|
69,028 | |||||||||||
CHAROEN POKPHAND INDO
|
1,812,000 |
shares
|
429,644 | |||||||||||
CHEESECAKE FACTORY INC
|
186,820 |
shares
|
5,483,167 | |||||||||||
CHESAPEAKE ENERGY CORP
|
114,435 |
shares
|
2,550,756 | |||||||||||
CHEUNG KONG HLDGS LTD
|
59,300 |
shares
|
705,498 | |||||||||||
CHEVRON CORP
|
376,105 |
shares
|
40,017,572 | |||||||||||
CHICAGO BRIDGE & IRON
|
149,088 |
shares
|
5,635,526 | |||||||||||
CHILDRENS PL RETAIL STORE
|
46,000 |
shares
|
2,443,520 | |||||||||||
CHINA MERCHANTS BANK CO
|
2,029,000 |
shares
|
4,101,576 | |||||||||||
CHINA MOBILE LIMITED
|
1,191,500 |
shares
|
11,644,072 | |||||||||||
CHINA MOBILE LIMITED
|
18,726 |
shares
|
908,024 | |||||||||||
CHINA OVERSEAS LAND & INV
|
2,049,200 |
shares
|
3,424,744 | |||||||||||
CHINA PETE & CHEM SPONS A
|
894 |
shares
|
93,915 | |||||||||||
CHINA PETROL & CHEM H
|
120,000 |
shares
|
126,233 | |||||||||||
CHINA RESOURCES LAND LTD
|
1,545,000 |
shares
|
2,482,631 | |||||||||||
CHINA TELECOM CORP LTD H
|
628,000 |
shares
|
357,397 | |||||||||||
CHINA TELECOM SPON ADR H
|
8,044 |
shares
|
459,554 | |||||||||||
CHINA UNICOM (HK) SPON AD
|
19,347 |
shares
|
408,802 | |||||||||||
CHINA UNICOM (HONG KONG)
|
2,124,000 |
shares
|
4,468,643 | |||||||||||
CHIPOTLE MEXICAN GRILL
|
21,825 |
shares
|
7,371,176 | |||||||||||
CHORUS LTD
|
77,119 |
shares
|
187,328 | |||||||||||
CHORUS LTD ADR
|
8,379 |
shares
|
100,297 | |||||||||||
CHRISTIAN DIOR SA
|
186 |
shares
|
22,056 | |||||||||||
CINEMARK HOLDINGS INC
|
66,300 |
shares
|
1,225,887 | |||||||||||
CISCO SYSTEMS INC
|
734,150 |
shares
|
13,273,432 | |||||||||||
CITIGROUP INC
|
246,719 |
shares
|
6,491,177 | |||||||||||
CITIZEN HOLDINGS CO LTD
|
80,000 |
shares
|
464,627 | |||||||||||
CITRIX SYSTEMS INC
|
16,578 |
shares
|
1,006,616 | |||||||||||
CITY DEVELOPEMENT LTD
|
65,000 |
shares
|
445,978 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
CITY NATIONAL CORP
|
57,400 |
shares
|
$ | 2,535,932 | ||||||||||
CITYCON OYJ
|
37,935 |
shares
|
113,428 | |||||||||||
CJ CHEILJEDANG CORP
|
1,413 |
shares
|
352,019 | |||||||||||
CLARCOR INC
|
77,921 |
shares
|
3,895,271 | |||||||||||
CLEAN HARBORS INC
|
100,000 |
shares
|
6,373,000 | |||||||||||
CME GROUP INC CL A
|
2,330 |
shares
|
567,751 | |||||||||||
CNOOC LTD
|
1,653,000 |
shares
|
2,890,292 | |||||||||||
CNOOC LTD SPON ADR
|
474 |
shares
|
82,798 | |||||||||||
CNP ASSURANCES
|
44,753 |
shares
|
554,837 | |||||||||||
COACH INC
|
89,239 |
shares
|
5,447,149 | |||||||||||
COBALT INTL ENERGY INC
|
173,050 |
shares
|
2,685,736 | |||||||||||
COCA COLA AMATIL LTD
|
53,320 |
shares
|
627,614 | |||||||||||
COCA COLA WEST COMPANY
|
8,200 |
shares
|
142,233 | |||||||||||
COCHLEAR LTD
|
3,258 |
shares
|
206,571 | |||||||||||
COFINIMMO SA
|
314 |
shares
|
36,913 | |||||||||||
COGNEX CORP
|
57,300 |
shares
|
2,050,767 | |||||||||||
COGNIZANT TECH SOLUT CL A
|
61,882 |
shares
|
3,979,631 | |||||||||||
COHERENT INC
|
57,100 |
shares
|
2,984,617 | |||||||||||
COLOPLAST AS CL B
|
1,971 |
shares
|
283,498 | |||||||||||
COLUMBIA BANKING SYS INC
|
123,000 |
shares
|
2,370,210 | |||||||||||
COMCAST CORP CL A
|
1,145,706 |
shares
|
27,164,689 | |||||||||||
COMINAR REAL ESTAT INV TR
|
18,900 |
shares
|
408,844 | |||||||||||
COMMONWEALTH PROP OFFC UN
|
148,775 |
shares
|
145,298 | |||||||||||
COMMONWEALTH REIT
|
13,028 |
shares
|
216,786 | |||||||||||
COMP CERVECERIAS UNID SPO
|
121 |
shares
|
7,635 | |||||||||||
COMPAGNIE GENE DE GEO-VER
|
30,163 |
shares
|
707,849 | |||||||||||
COMPASS GROUP PLC
|
149,079 |
shares
|
1,414,722 | |||||||||||
COMPASS MINERALS INTL INC
|
33,200 |
shares
|
2,285,820 | |||||||||||
COMPLETE PRODUCTION SERVC
|
116,519 |
shares
|
3,910,378 | |||||||||||
COMPUTER SCIENCES CORP
|
112,300 |
shares
|
2,661,510 | |||||||||||
COMPUWARE CORP
|
165,800 |
shares
|
1,379,456 | |||||||||||
CONCHO RESOURCES INC
|
59,651 |
shares
|
5,592,281 | |||||||||||
CONOCOPHILLIPS
|
108,687 |
shares
|
7,920,022 | |||||||||||
CONSOL ENERGY INC
|
33,852 |
shares
|
1,242,368 | |||||||||||
CONTINENTAL AG
|
9,427 |
shares
|
586,870 | |||||||||||
CONWERT IMMOBIL INVEST AG
|
2,824 |
shares
|
31,268 | |||||||||||
COOPER COMPANIES INC
|
16,807 |
shares
|
1,185,230 | |||||||||||
COOPER INDU PLC CL A
|
26,723 |
shares
|
1,447,050 | |||||||||||
COPEL (CIA PARANA) PN B SP
|
4,190 |
shares
|
87,906 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
CORE LABORATORIES NV
|
45,455 |
shares
|
$ | 5,179,597 | ||||||||||
CORESITE REALTY CORP
|
6,110 |
shares
|
108,880 | |||||||||||
CORIO NV
|
24,381 |
shares
|
1,060,532 | |||||||||||
CORNING INC
|
181,200 |
shares
|
2,351,976 | |||||||||||
CORPORATE EXECUTIVE BRD C
|
182,000 |
shares
|
6,934,200 | |||||||||||
COSTAR GROUP INC
|
134,500 |
shares
|
8,975,185 | |||||||||||
COSTCO WHOLESALE CORP
|
123,337 |
shares
|
10,276,439 | |||||||||||
COUSINS PROPERTIES INC
|
73,582 |
shares
|
471,661 | |||||||||||
COVANCE INC
|
13,642 |
shares
|
623,712 | |||||||||||
COVIDIEN PLC
|
309,771 |
shares
|
13,942,793 | |||||||||||
CPFL ENERGIA SA ADR
|
15,842 |
shares
|
446,903 | |||||||||||
CREDIT AGRICOLE SA
|
221,720 |
shares
|
1,251,295 | |||||||||||
CREDIT SUISSE GRP SPON AD
|
50,000 |
shares
|
1,174,000 | |||||||||||
CREXUS INVT CO
|
5,920 |
shares
|
61,450 | |||||||||||
CROCS INC
|
28,155 |
shares
|
415,849 | |||||||||||
CROWN HOLDINGS INC
|
20,237 |
shares
|
679,558 | |||||||||||
CROWN LTD
|
21,593 |
shares
|
178,644 | |||||||||||
CTRIP.COM INTL LTD ADR
|
86,900 |
shares
|
2,033,460 | |||||||||||
CVB FINANCIAL CORP
|
263,600 |
shares
|
2,643,908 | |||||||||||
CVS CAREMARK CORP
|
122,205 |
shares
|
4,983,520 | |||||||||||
CVS CAREMARK CORP
|
201,608 |
shares
|
8,221,574 | |||||||||||
DAIHATSU MOTOR CO
|
44,000 |
shares
|
785,500 | |||||||||||
DAINIPPON SUMITOMO PHAR C
|
18,000 |
shares
|
205,106 | |||||||||||
DANAHER CORP
|
40,250 |
shares
|
1,893,360 | |||||||||||
DAVITA INC
|
264,000 |
shares
|
20,013,840 | |||||||||||
DCT INDU TR INC REIT
|
112,540 |
shares
|
576,205 | |||||||||||
DDR CORP
|
91,197 |
shares
|
1,109,867 | |||||||||||
DECKERS OUTDOOR CORP
|
26,200 |
shares
|
1,979,934 | |||||||||||
DEERE & CO
|
35,040 |
shares
|
2,710,344 | |||||||||||
DELHAIZE GROUP
|
8,034 |
shares
|
451,378 | |||||||||||
DELL INC
|
229,500 |
shares
|
3,357,585 | |||||||||||
DELTA LLOYD NV
|
36,854 |
shares
|
620,150 | |||||||||||
DENBURY RESOURCES INC
|
245,000 |
shares
|
3,699,500 | |||||||||||
DENSO CORP
|
65,000 |
shares
|
1,795,491 | |||||||||||
DERWENT LONDON PLC
|
58,874 |
shares
|
1,426,466 | |||||||||||
DEUTSCHE EUROSHOP AG
|
3,188 |
shares
|
102,338 | |||||||||||
DEVELOPMENT SECURITIES PL
|
30,695 |
shares
|
71,511 | |||||||||||
DEXUS PROPERTY GRP STAPLE
|
2,071,023 |
shares
|
1,757,883 | |||||||||||
DIA SA (DISTRIBUIDORA INTL)
|
290,211 |
shares
|
1,312,894 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
DIAGEO PLC SPON ADR
|
1,636 |
shares
|
$ | 143,019 | ||||||||||
DICKS SPORTING GOODS INC
|
29,155 |
shares
|
1,075,236 | |||||||||||
DIGITAL REALTY TRUST INC
|
1,450 |
shares
|
96,672 | |||||||||||
DIODES INC
|
110,600 |
shares
|
2,355,780 | |||||||||||
DISH NETWORK CORP A
|
97,500 |
shares
|
2,776,800 | |||||||||||
DISNEY (WALT) CO
|
458,142 |
shares
|
17,180,325 | |||||||||||
DOLE FOOD CO INC
|
223,500 |
shares
|
1,933,275 | |||||||||||
DOLLAR GENERAL CORP
|
51,300 |
shares
|
2,110,482 | |||||||||||
DOMINION RESOURCES INC VA
|
38,550 |
shares
|
2,046,234 | |||||||||||
DOMTAR CORP
|
11,700 |
shares
|
935,532 | |||||||||||
DOUGLAS EMMETT INC REIT
|
6,330 |
shares
|
115,459 | |||||||||||
DOVER CORP
|
16,530 |
shares
|
959,567 | |||||||||||
DOW CHEMICAL CO
|
262,815 |
shares
|
7,558,559 | |||||||||||
DRIL-QUIP INC
|
80,000 |
shares
|
5,265,600 | |||||||||||
DSW INC CL A
|
19,232 |
shares
|
850,247 | |||||||||||
DUKE REALTY CORP REIT
|
148,800 |
shares
|
1,793,040 | |||||||||||
DUNKIN BRANDS GROUP INC
|
204,164 |
shares
|
5,100,017 | |||||||||||
DUPONT (EI) DE NEMOURS &
|
85,460 |
shares
|
3,912,359 | |||||||||||
DUPONT FABROS TECH INC
|
97,200 |
shares
|
2,354,184 | |||||||||||
E.ON AG
|
192,851 |
shares
|
4,161,271 | |||||||||||
EBAY INC
|
450,105 |
shares
|
13,651,685 | |||||||||||
EDENRED
|
42,111 |
shares
|
1,036,751 | |||||||||||
EDP RENOVAVEIS SA
|
30,049 |
shares
|
183,898 | |||||||||||
EIFFAGE SA
|
4,897 |
shares
|
118,565 | |||||||||||
EL PASO CORP
|
152,610 |
shares
|
4,054,848 | |||||||||||
ELAN CORP PLC ADR
|
109,160 |
shares
|
1,499,858 | |||||||||||
ELETROBRAS (ON) SPON ADR
|
74,321 |
shares
|
721,657 | |||||||||||
ELPIDA MEMORY INC
|
72,400 |
shares
|
336,766 | |||||||||||
ELSTER GROUP SE ADR
|
68,500 |
shares
|
890,500 | |||||||||||
E-MART CO LTD
|
2,709 |
shares
|
650,412 | |||||||||||
EMC CORP
|
682,316 |
shares
|
14,697,087 | |||||||||||
EMCOR GROUP INC
|
94,500 |
shares
|
2,533,545 | |||||||||||
EMPIRE CO NON-VTG CL A
|
3,900 |
shares
|
226,364 | |||||||||||
ENI SPA SPON ADR
|
867 |
shares
|
35,781 | |||||||||||
ENSCO PLC SPON ADR
|
60,590 |
shares
|
2,842,883 | |||||||||||
ENTERGY CORP
|
97,000 |
shares
|
7,085,850 | |||||||||||
ENTERTAINMENT PPTYS TR RE
|
76,200 |
shares
|
3,330,702 | |||||||||||
EOG RESOURCES INC
|
59,752 |
shares
|
5,886,170 | |||||||||||
EQT CORPORATION
|
33,800 |
shares
|
1,851,902 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
EQUINIX INC
|
18,036 |
shares
|
$ | 1,828,850 | ||||||||||
EQUITY LIFESTYLE PPTYS
|
16,620 |
shares
|
1,108,388 | |||||||||||
EQUITY RESIDENTIAL REIT
|
146,880 |
shares
|
8,376,566 | |||||||||||
ERAMET SA
|
2,160 |
shares
|
264,213 | |||||||||||
EREGLI DEMIR VE CELIK FAB
|
135,544 |
shares
|
235,854 | |||||||||||
ERSTE GROUP BANK AG
|
38,489 |
shares
|
676,807 | |||||||||||
ESSEX PROPERTY TRUST INC
|
12,400 |
shares
|
1,742,324 | |||||||||||
ESSILOR INTL SA (FRAN)
|
31,794 |
shares
|
2,244,959 | |||||||||||
ESTEE LAUDER COS INC CL A
|
82,751 |
shares
|
9,294,592 | |||||||||||
ESTERLINE TECH CORP
|
13,380 |
shares
|
748,879 | |||||||||||
EURASIAN NATURAL RESOURCE
|
76,846 |
shares
|
758,491 | |||||||||||
EURAZEO
|
5,980 |
shares
|
212,825 | |||||||||||
EUROCOMMERCIAL CVA
|
16,739 |
shares
|
531,491 | |||||||||||
EXELIXIS INC
|
34,180 |
shares
|
161,842 | |||||||||||
EXELON CORP
|
197,200 |
shares
|
8,552,564 | |||||||||||
EXOR SPA
|
28,826 |
shares
|
580,207 | |||||||||||
EXPERIAN PLC
|
12,547 |
shares
|
170,612 | |||||||||||
EXPRESS INC
|
98,000 |
shares
|
1,954,120 | |||||||||||
EXPRESS SCRIPTS INC
|
104,650 |
shares
|
4,676,809 | |||||||||||
EXTENDICARE REAL ESTATE I
|
18,990 |
shares
|
158,499 | |||||||||||
EXXARO RESOURCES LTD
|
22,611 |
shares
|
470,561 | |||||||||||
EXXON MOBIL CORP
|
422,080 |
shares
|
35,775,501 | |||||||||||
F5 NETWORKS INC
|
9,600 |
shares
|
1,018,752 | |||||||||||
FABEGE AB
|
9,290 |
shares
|
72,771 | |||||||||||
FACTSET RESEARCH SYS INC
|
7,255 |
shares
|
633,216 | |||||||||||
FAIRFAX MEDIA LTD
|
204,887 |
shares
|
150,860 | |||||||||||
FEDERAL REALTY INVESTMENT
|
25,780 |
shares
|
2,339,535 | |||||||||||
FEDEX CORP
|
163,199 |
shares
|
13,628,748 | |||||||||||
FERROVIAL SA
|
18,476 |
shares
|
223,010 | |||||||||||
FIAT SPA
|
86,718 |
shares
|
398,480 | |||||||||||
FIFTH THIRD BANCORP
|
543,691 |
shares
|
6,915,750 | |||||||||||
FINMECCANICA SPA
|
19,937 |
shares
|
73,755 | |||||||||||
FIRST FINANCIAL BANCORP
|
123,100 |
shares
|
2,048,384 | |||||||||||
FIRSTENERGY CORP
|
14,100 |
shares
|
624,630 | |||||||||||
FIRSTRAND LIMITED
|
30,112 |
shares
|
77,363 | |||||||||||
FLEETCOR TECHNOLOGIES INC
|
223,861 |
shares
|
6,686,728 | |||||||||||
FOMENTO ECONO MEX
|
12,137 |
shares
|
846,070 | |||||||||||
FOMENTO ECONO MEXI
|
90,100 |
shares
|
626,420 | |||||||||||
FONCIERE DES REGIONS
|
5,307 |
shares
|
340,721 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
FOREST CITY ENTERPRI CL A
|
163,910 |
shares
|
$ | 1,937,416 | ||||||||||
FOREST LABORATORIES INC
|
67,370 |
shares
|
2,038,616 | |||||||||||
FORTESCUE METALS GROUP
|
1,684,939 |
shares
|
7,357,649 | |||||||||||
FORTINET INC
|
26,087 |
shares
|
568,957 | |||||||||||
FOSSIL INC
|
34,477 |
shares
|
2,736,095 | |||||||||||
FRAPORT AG FRANKFURT AIRP
|
1,658 |
shares
|
81,552 | |||||||||||
FREEPORT MCMORAN COPPER
|
150,602 |
shares
|
5,540,648 | |||||||||||
FRESENIUS SE & CO KGAA
|
16,774 |
shares
|
1,551,993 | |||||||||||
FRESNILLO PLC
|
16,991 |
shares
|
402,969 | |||||||||||
FRONTIER REAL ESTATE INV
|
74 |
shares
|
599,961 | |||||||||||
FTI CONSULTING INC
|
55,700 |
shares
|
2,362,794 | |||||||||||
FUJI ELECTRIC CO LTD
|
84,000 |
shares
|
230,286 | |||||||||||
FUJI HEAVY INDUSTRIES LTD
|
171,000 |
shares
|
1,033,132 | |||||||||||
FUJIFILM HOLDINGS CORP
|
52,600 |
shares
|
1,245,888 | |||||||||||
FURUKAWA ELECTRIC CO LTD
|
21,000 |
shares
|
48,295 | |||||||||||
GARDNER DENVER INC
|
60,000 |
shares
|
4,623,600 | |||||||||||
GATX CORP
|
88,900 |
shares
|
3,881,374 | |||||||||||
GAYLORD ENTERTAINMENT CO
|
81,500 |
shares
|
1,967,410 | |||||||||||
GAZPROM O A O SPON ADR
|
879,277 |
shares
|
9,391,558 | |||||||||||
GBL (GROUPE BRUXELLES LAM)
|
21,306 |
shares
|
1,420,568 | |||||||||||
GEBERIT AG (REG)
|
26,165 |
shares
|
5,042,714 | |||||||||||
GECINA SA
|
7,230 |
shares
|
608,303 | |||||||||||
GEN PROBE INC
|
63,000 |
shares
|
3,724,560 | |||||||||||
GENERAL DYNAMICS CORPORAT
|
67,923 |
shares
|
4,510,766 | |||||||||||
GENERAL ELECTRIC CO
|
1,913,216 |
shares
|
34,265,699 | |||||||||||
GENERAL GROWTH PPTYS NEW
|
343,476 |
shares
|
5,159,010 | |||||||||||
GENERAL MILLS INC
|
108,740 |
shares
|
4,394,183 | |||||||||||
GENERAL MOTORS CO
|
248,000 |
shares
|
5,026,960 | |||||||||||
GENERALI SPA
|
134,085 |
shares
|
2,018,498 | |||||||||||
GENESCO INC
|
52,900 |
shares
|
3,266,046 | |||||||||||
GENESEE & WYOMING CL A
|
68,100 |
shares
|
4,125,498 | |||||||||||
GENTEX CORP
|
203,346 |
shares
|
6,017,008 | |||||||||||
GENWORTH FINANCIAL INC A
|
175,000 |
shares
|
1,146,250 | |||||||||||
GEORESOURCES INC.
|
123,500 |
shares
|
3,619,785 | |||||||||||
GETINGE AB SER B
|
32,313 |
shares
|
818,990 | |||||||||||
GKN PLC
|
44,895 |
shares
|
127,603 | |||||||||||
GLAXOSMITHKLINE PLC
|
35,311 |
shares
|
807,019 | |||||||||||
GLAXOSMITHKLINE PLC SPONS
|
445,941 |
shares
|
20,348,288 | |||||||||||
GLOBAL LOGISTIC PROPERTIE
|
804,600 |
shares
|
1,088,597 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
GLOBAL PAYMENTS INC
|
235,000 |
shares
|
$ | 11,134,300 | ||||||||||
GLOBE TELECOM INC
|
3,310 |
shares
|
85,544 | |||||||||||
GOLDMAN SACHS GROUP INC
|
182,242 |
shares
|
16,480,144 | |||||||||||
GOODMAN GROUP (STAPLE)
|
3,466,957 |
shares
|
2,020,926 | |||||||||||
GOOGLE INC A
|
35,912 |
shares
|
23,195,561 | |||||||||||
GPT GROUP REIT STAPLED
|
844,480 |
shares
|
2,651,275 | |||||||||||
GRACO INC
|
85,000 |
shares
|
3,475,650 | |||||||||||
GRAINGER PLC
|
171,087 |
shares
|
284,324 | |||||||||||
GRAND CANYON EDUCATION
|
212,400 |
shares
|
3,389,904 | |||||||||||
GREAT EAGLE HOLDINGS LTD
|
73,600 |
shares
|
144,422 | |||||||||||
GREAT PORTLAND ESTATES PL
|
168,434 |
shares
|
844,979 | |||||||||||
GREE INC
|
164,900 |
shares
|
5,681,996 | |||||||||||
GREEK ORG OF FOOTBL PROGN
|
86,763 |
shares
|
767,050 | |||||||||||
GREEN DOT CORP CLASS-A
|
128,900 |
shares
|
4,024,258 | |||||||||||
GREEN MTN COFFEE ROASTERS
|
80,896 |
shares
|
3,628,186 | |||||||||||
GREIF INC CL A
|
54,500 |
shares
|
2,482,475 | |||||||||||
GRUPA LOTOS SA
|
64,615 |
shares
|
436,335 | |||||||||||
GSW IMMOBILIEN GMBH
|
26,090 |
shares
|
756,468 | |||||||||||
GUANGZHOU R&F PROPERTIES
|
1,116,600 |
shares
|
882,745 | |||||||||||
GUDANG GARAM PT
|
200,500 |
shares
|
1,372,046 | |||||||||||
GULFMARK OFFSHORE CLASS A
|
112,646 |
shares
|
4,732,258 | |||||||||||
H&R REIT / H&R FIN TR
|
30,673 |
shares
|
700,564 | |||||||||||
HAEMONETICS CORP MASS
|
124,996 |
shares
|
7,652,255 | |||||||||||
HAMMERSON PLC
|
416,250 |
shares
|
2,327,395 | |||||||||||
HANESBRANDS INC
|
197,700 |
shares
|
4,321,722 | |||||||||||
HANG LUNG PROPERTIES LTD
|
819,998 |
shares
|
2,333,319 | |||||||||||
HANKOOK TIRE CO LTD
|
38,110 |
shares
|
1,483,996 | |||||||||||
HANNOVER RUECKVERSICHERUN
|
32,877 |
shares
|
1,630,958 | |||||||||||
HARLEY-DAVIDSON INC
|
105,431 |
shares
|
4,098,103 | |||||||||||
HARMONY GOLD MNG SPON ADR
|
8,816 |
shares
|
102,618 | |||||||||||
HARTFORD FINL SVCS GROUP
|
176,725 |
shares
|
2,871,781 | |||||||||||
HCP INC REIT
|
117,940 |
shares
|
4,886,254 | |||||||||||
HEALTH CARE REIT INC
|
55,550 |
shares
|
3,029,142 | |||||||||||
HEALTHCARE REALTY TR INC
|
75,850 |
shares
|
1,410,052 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
HEALTHSOUTH CORP
|
25,887 |
shares
|
$ | 457,423 | ||||||||||
HEALTHSPRING INC
|
53,300 |
shares
|
2,906,982 | |||||||||||
HEARTLAND EXPRESS INC
|
175,066 |
shares
|
2,501,693 | |||||||||||
HEICO CORP
|
7,512 |
shares
|
439,302 | |||||||||||
HEIDELBERGCEMENT AG
|
74,643 |
shares
|
3,168,101 | |||||||||||
HEINEKEN HOLDING NV
|
30,314 |
shares
|
1,240,720 | |||||||||||
HELMERICH & PAYNE INC
|
14,916 |
shares
|
870,498 | |||||||||||
HENDERSON LAND DEVMT CO
|
216,218 |
shares
|
1,074,603 | |||||||||||
HENRY (JACK) & ASSOC INC
|
326,000 |
shares
|
10,956,860 | |||||||||||
HENRY SCHEIN INC
|
10,536 |
shares
|
678,834 | |||||||||||
HERBALIFE LTD
|
87,470 |
shares
|
4,519,575 | |||||||||||
HESS CORP
|
60,919 |
shares
|
3,460,199 | |||||||||||
HEXCEL CORPORATION
|
106,036 |
shares
|
2,567,132 | |||||||||||
HIGHWOODS PROPERTIES INC
|
12,600 |
shares
|
373,842 | |||||||||||
HINDUSTAN UNILEVER LTD
|
12,289 |
shares
|
94,436 | |||||||||||
HINO MOTORS LTD
|
227,000 |
shares
|
1,377,366 | |||||||||||
HISOFT TECH INTL LTD ADR
|
22,390 |
shares
|
206,660 | |||||||||||
HITTITE MICROWAVE CORP
|
67,323 |
shares
|
3,324,410 | |||||||||||
HOLOGIC INC
|
282,000 |
shares
|
4,937,820 | |||||||||||
HOME DEPOT INC
|
190,000 |
shares
|
7,987,600 | |||||||||||
HOME RETAIL GROUP PLC
|
570,736 |
shares
|
739,290 | |||||||||||
HONEYWELL INTL INC
|
131,825 |
shares
|
7,164,689 | |||||||||||
HONG KONG EXCHS & CLEARIN
|
291,500 |
shares
|
4,657,785 | |||||||||||
HONG KONG LAND HLDGS LTD
|
1,073,856 |
shares
|
4,875,306 | |||||||||||
HOST HOTELS & RESORTS INC
|
422,017 |
shares
|
6,233,191 | |||||||||||
HOUSING DEV FN LTD
|
379,967 |
shares
|
4,673,347 | |||||||||||
HOYA CORP
|
121,600 |
shares
|
2,619,539 | |||||||||||
HSBC HLDGS PLC SPON ADR
|
65,200 |
shares
|
2,484,120 | |||||||||||
HUB GROUP INC CL A
|
70,496 |
shares
|
2,286,185 | |||||||||||
HUDSON PACIFIC PROPERTIES
|
16,290 |
shares
|
230,666 | |||||||||||
HUFVUDSTADEN (FASTIG) AB
|
70,128 |
shares
|
713,928 | |||||||||||
HUMAN GENOME SCIENCES INC
|
29,530 |
shares
|
218,227 | |||||||||||
HUMANA INC
|
29,847 |
shares
|
2,614,896 | |||||||||||
HUNT J B TRANSPORT SVCS I
|
41,862 |
shares
|
1,886,720 | |||||||||||
HYNIX SEMICONDUCTOR INC
|
64,520 |
shares
|
1,218,720 | |||||||||||
HYSAN DEVELOPMENT CO LTD
|
373,383 |
shares
|
1,225,925 | |||||||||||
HYUNDAI DEPT STORES CO
|
5,305 |
shares
|
744,129 | |||||||||||
HYUNDAI HYSCO CO LTD
|
5,614 |
shares
|
169,814 | |||||||||||
HYUNDAI MOBIS
|
8,516 |
shares
|
2,139,901 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
HYUNDAI MOTOR CO
|
25,198 |
shares
|
$ | 4,618,712 | ||||||||||
HYUNDAI WIA CORP
|
2,202 |
shares
|
270,027 | |||||||||||
IAC/INTERACTIVECORP
|
20,914 |
shares
|
890,936 | |||||||||||
IBERIABANK CORP
|
51,300 |
shares
|
2,529,090 | |||||||||||
ICADE REIT
|
12,482 |
shares
|
982,166 | |||||||||||
IDEXX LABS INC
|
7,273 |
shares
|
559,730 | |||||||||||
IGUATEMI EMP DE SHP CNT S
|
10,200 |
shares
|
189,745 | |||||||||||
IHS INC CL A
|
99,024 |
shares
|
8,531,908 | |||||||||||
II-VI INC.
|
95,750 |
shares
|
1,757,970 | |||||||||||
ILLINOIS TOOL WORKS INC
|
171,630 |
shares
|
8,016,837 | |||||||||||
ILLUMINA INC
|
92,879 |
shares
|
2,830,952 | |||||||||||
IMERYS
|
14,503 |
shares
|
668,120 | |||||||||||
IMMOFINANZ AG
|
220,849 |
shares
|
663,211 | |||||||||||
IMMUNOGEN INC
|
22,650 |
shares
|
262,287 | |||||||||||
IMPALA PLATINUM HLDGS LTD
|
71,536 |
shares
|
1,482,986 | |||||||||||
IMPAX LABORATORIES INC
|
35,236 |
shares
|
710,710 | |||||||||||
IMPERIAL HLDGS LTD
|
14,277 |
shares
|
218,419 | |||||||||||
IMPERIAL TOBACCO GROUP PL
|
13,054 |
shares
|
493,692 | |||||||||||
INCYTE CORP
|
16,820 |
shares
|
252,468 | |||||||||||
INDITEX SA
|
142,276 |
shares
|
11,653,775 | |||||||||||
INDITEX SA UNSPN ADR
|
227,308 |
shares
|
3,689,209 | |||||||||||
INDO TAMBANGRAYA MEGAH PT
|
105,500 |
shares
|
449,691 | |||||||||||
INDRA SISTEMAS SA
|
9,831 |
shares
|
125,178 | |||||||||||
INDUSTRIAL ALLIANCE INSUR
|
1,035 |
shares
|
26,719 | |||||||||||
INDUSTRIVARDEN AB SER C
|
56,308 |
shares
|
671,843 | |||||||||||
INFINEON TECH AG SPONS AD
|
12,243 |
shares
|
91,945 | |||||||||||
INFINEON TECHNOLOGIES AG
|
341,290 |
shares
|
2,569,310 | |||||||||||
INFORMATICA CORP
|
145,888 |
shares
|
5,387,644 | |||||||||||
INGERSOLL RAND PLC
|
100,945 |
shares
|
3,075,794 | |||||||||||
INMARSAT PLC
|
164,543 |
shares
|
1,034,251 | |||||||||||
INSURANCE AUSTRALIA GROUP
|
73,945 |
shares
|
225,347 | |||||||||||
INTERNATIONAL PAPER CO
|
217,000 |
shares
|
6,423,200 | |||||||||||
INTESA SANPAOLO SPA
|
2,167,552 |
shares
|
3,630,549 | |||||||||||
INTL BUS MACH CORP
|
154,990 |
shares
|
28,499,561 | |||||||||||
INTUIT INC
|
15,810 |
shares
|
831,448 | |||||||||||
INVACARE CORP
|
52,060 |
shares
|
795,997 | |||||||||||
INVESCO LTD
|
73,310 |
shares
|
1,472,798 | |||||||||||
INVESTA OFFC FUND STPL UN
|
1,226,000 |
shares
|
752,261 | |||||||||||
INVESTOR AB SER B
|
49,737 |
shares
|
928,110 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
IPG PHOTONICS CORP
|
7,148 |
shares
|
$ | 242,103 | ||||||||||
ISHRS MSCI EAFE ETF
|
37,281 |
shares
|
1,846,528 | |||||||||||
ISHRS MSCI EMERGING MARKE
|
11,467 |
shares
|
435,058 | |||||||||||
ISRAEL CHEMICAL LTD
|
45,926 |
shares
|
476,005 | |||||||||||
ISUZU MOTORS LTD
|
404,000 |
shares
|
1,868,694 | |||||||||||
ITAU UNIBANCO HLDG SA SPO
|
398,700 |
shares
|
7,399,872 | |||||||||||
ITC LTD (DEMAT)
|
86,824 |
shares
|
329,674 | |||||||||||
ITV PLC
|
1,701,388 |
shares
|
1,800,871 | |||||||||||
JAMES HARDIE INDU SE CDI
|
375,701 |
shares
|
2,620,316 | |||||||||||
JAPAN PETROLEUM EXPLRN CO
|
5,300 |
shares
|
207,276 | |||||||||||
JAPAN REAL ESTATE INVESTM
|
172 |
shares
|
1,340,869 | |||||||||||
JAPAN RETAIL FUND INVEST
|
372 |
shares
|
551,004 | |||||||||||
JAPAN TOBACCO INC
|
976 |
shares
|
4,590,554 | |||||||||||
JARDEN CORP
|
240,000 |
shares
|
7,171,200 | |||||||||||
JERONIMO MARTINS & FILHO
|
54,841 |
shares
|
907,913 | |||||||||||
JETBLUE AIRWAYS CORP
|
210,735 |
shares
|
1,095,822 | |||||||||||
JGC CORP
|
9,000 |
shares
|
216,098 | |||||||||||
JOHNSON & JOHNSON
|
422,657 |
shares
|
27,717,846 | |||||||||||
JOHNSON CONTROLS INC
|
65,124 |
shares
|
2,035,776 | |||||||||||
JONES LANG LASALLE INC
|
88,000 |
shares
|
5,390,880 | |||||||||||
JOS A BANKS CLOTHIERS INC
|
129,900 |
shares
|
6,333,924 | |||||||||||
JOY GLOBAL INC
|
8,561 |
shares
|
641,818 | |||||||||||
JPMORGAN CHASE & CO
|
669,998 |
shares
|
22,277,434 | |||||||||||
JTEKT CORPORATION
|
36,100 |
shares
|
355,067 | |||||||||||
JUNIPER NETWORKS INC
|
93,558 |
shares
|
1,909,519 | |||||||||||
KABEL DEUTSCHLAND HLDGS A
|
10,841 |
shares
|
550,288 | |||||||||||
KANGWON LAND INC
|
32,640 |
shares
|
764,002 | |||||||||||
KANSAS CITY SOUTHERN
|
136,810 |
shares
|
9,304,448 | |||||||||||
KAO CORP
|
42,000 |
shares
|
1,147,613 | |||||||||||
KAO CORP SPON ADR
|
8,959 |
shares
|
243,685 | |||||||||||
KAWASAKI KISEN KAISHA LTD
|
33,000 |
shares
|
59,599 | |||||||||||
KBC GROUPE SA
|
48,016 |
shares
|
604,800 | |||||||||||
KBR INC
|
12,697 |
shares
|
353,865 | |||||||||||
KDDI CORP
|
339 |
shares
|
2,180,277 | |||||||||||
KELLOGG CO
|
80,600 |
shares
|
4,075,942 | |||||||||||
KENEDIX REALTY INV REIT
|
107 |
shares
|
311,414 | |||||||||||
KENNAMETAL INC
|
56,200 |
shares
|
2,052,424 | |||||||||||
KEPPEL LAND LTD
|
83,421 |
shares
|
142,770 | |||||||||||
KERRY PROPERTIES LTD
|
650,500 |
shares
|
2,152,531 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
KEY ENERGY SERVICES INC
|
180,600 |
shares
|
$ | 2,793,882 | ||||||||||
KEYCORP
|
902,721 |
shares
|
6,941,924 | |||||||||||
KIA MOTORS CORP
|
26,933 |
shares
|
1,545,915 | |||||||||||
KIKKOMAN CORP
|
19,000 |
shares
|
218,229 | |||||||||||
KIMBERLY CLARK CORP
|
43,000 |
shares
|
3,163,080 | |||||||||||
KIMCO REALTY CORPORATION
|
54,100 |
shares
|
878,584 | |||||||||||
KINGFISHER PLC
|
484,306 |
shares
|
1,885,765 | |||||||||||
KINGFISHER PLC SPON ADR
|
25,800 |
shares
|
198,402 | |||||||||||
KINNEVIK INVESTMENT AB B
|
44,999 |
shares
|
876,973 | |||||||||||
KIRBY CORP
|
55,750 |
shares
|
3,670,580 | |||||||||||
KIRIN HOLDINGS CO LTD
|
122,000 |
shares
|
1,483,687 | |||||||||||
KITE REALTY GROUP TRUST
|
5,360 |
shares
|
24,174 | |||||||||||
KLEPIERRE SA
|
37,343 |
shares
|
1,065,343 | |||||||||||
KNIGHT TRANSPORTATION INC
|
145,100 |
shares
|
2,269,364 | |||||||||||
KOHLS CORP
|
142,051 |
shares
|
7,010,217 | |||||||||||
KOITO MFG CO LTD
|
48,000 |
shares
|
673,553 | |||||||||||
KONICA MINOLTA HLDGS INC
|
113,500 |
shares
|
846,476 | |||||||||||
KOPPERS HLDGS INC
|
82,200 |
shares
|
2,824,392 | |||||||||||
KORN/FERRY INTL
|
111,000 |
shares
|
1,893,660 | |||||||||||
KRAFT FOODS INC CL A
|
304,937 |
shares
|
11,392,446 | |||||||||||
KRUNG THAI BANK
|
268,000 |
shares
|
126,367 | |||||||||||
KT & G CORP
|
17,426 |
shares
|
1,220,667 | |||||||||||
KT CORP SPON ADR
|
20,556 |
shares
|
321,496 | |||||||||||
KUALA LUMPUR KEPONG BHD
|
39,500 |
shares
|
282,855 | |||||||||||
KUMBA IRON ORE LTD
|
12,382 |
shares
|
766,915 | |||||||||||
KYOCERA CORP
|
23,900 |
shares
|
1,922,185 | |||||||||||
LAGARDERE SCA (REG)
|
30,285 |
shares
|
799,698 | |||||||||||
LAM RESEARCH CORP
|
26,793 |
shares
|
991,877 | |||||||||||
LAMAR ADVERTISING CO CL A
|
151,200 |
shares
|
4,158,000 | |||||||||||
LAND SECURITIES GROUP PLC
|
250,678 |
shares
|
2,474,259 | |||||||||||
LAREDO PETROLEUM INC
|
153,100 |
shares
|
3,414,130 | |||||||||||
LAS VEGAS SANDS CORP
|
33,900 |
shares
|
1,448,547 | |||||||||||
LASALLE HOTEL PPTYS REIT
|
36,842 |
shares
|
891,945 | |||||||||||
LAZARD LTD CL A
|
200,000 |
shares
|
5,222,000 | |||||||||||
LEAP WIRELESS INTL INC
|
190,470 |
shares
|
1,769,466 | |||||||||||
LEGAL & GEN GROUP PLC ORD
|
308,880 |
shares
|
493,170 | |||||||||||
LEGG MASON INC
|
21,600 |
shares
|
519,480 | |||||||||||
LEXINGTON REALTY TR REIT
|
2,820 |
shares
|
21,122 | |||||||||||
LG DISPLAY CO LTD
|
26,800 |
shares
|
565,036 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
LG DISPLAY CO LTD ADR
|
36,546 |
shares
|
$ | 384,829 | ||||||||||
LG HOUSEHOLD & HEALTHCARE
|
2,585 |
shares
|
1,084,452 | |||||||||||
LI & FUNG LTD
|
772,000 |
shares
|
1,429,372 | |||||||||||
LIBERTY GLOBAL INC CL A
|
6,000 |
shares
|
246,180 | |||||||||||
LIBERTY GLOBAL INC CL C
|
15,000 |
shares
|
592,800 | |||||||||||
LIBERTY HOLDINGS LTD
|
35,124 |
shares
|
345,819 | |||||||||||
LIBERTY INTERACTIVE CORP
|
250,000 |
shares
|
4,053,750 | |||||||||||
LIBERTY MEDIA LIB CAP A
|
23,266 |
shares
|
1,815,911 | |||||||||||
LIBERTY PROPERTY TR - REIT
|
58,220 |
shares
|
1,797,834 | |||||||||||
LIFE HEALTHCARE GROUP HLD
|
49,105 |
shares
|
125,552 | |||||||||||
LIFEPOINT HOSPITALS INC
|
12,408 |
shares
|
460,957 | |||||||||||
LILLY (ELI) & CO
|
54,310 |
shares
|
2,257,124 | |||||||||||
LINDT & SPRUENGLI AG
|
19 |
shares
|
635,053 | |||||||||||
LINDT & SPRUENGLI AG PART
|
176 |
shares
|
523,605 | |||||||||||
LINEAR TECHNOLOGY CORP
|
128,400 |
shares
|
3,855,852 | |||||||||||
LINK REAL ESTATE INVESTMENT
|
675,500 |
shares
|
2,487,485 | |||||||||||
LINKEDIN CORP
|
45,945 |
shares
|
2,894,994 | |||||||||||
LITTELFUSE INC
|
72,018 |
shares
|
3,095,334 | |||||||||||
LKQ CORP
|
42,482 |
shares
|
1,277,859 | |||||||||||
LLOYDS BANKING GROUP PLC
|
1,099,516 |
shares
|
615,668 | |||||||||||
LOCKHEED MARTIN CORP
|
57,374 |
shares
|
4,641,557 | |||||||||||
LONDON & STAMFORD PROPERTY
|
32,300 |
shares
|
54,180 | |||||||||||
LONGFOR PROPERTIES C REGS
|
761,000 |
shares
|
860,297 | |||||||||||
L'OREAL SA ORD
|
82,132 |
shares
|
8,579,351 | |||||||||||
LORILLARD INC
|
67,560 |
shares
|
7,701,840 | |||||||||||
LOTTE SHOPPING CO LTD
|
3,719 |
shares
|
1,086,529 | |||||||||||
LOWES COS INC
|
658,073 |
shares
|
16,701,893 | |||||||||||
LPL INVESTMENT HLDGS INC
|
14,990 |
shares
|
457,795 | |||||||||||
LUFKIN INDUSTRIES INC
|
23,700 |
shares
|
1,595,247 | |||||||||||
LUFTHANSA AG (REGD)
|
41,556 |
shares
|
494,062 | |||||||||||
LUKOIL OIL CO SPONS ADR
|
73,922 |
shares
|
3,932,650 | |||||||||||
LULULEMON ATHLETICA INC
|
105,704 |
shares
|
4,932,149 | |||||||||||
LVMH
|
10,614 |
shares
|
1,503,021 | |||||||||||
LXB RETAIL PROPERTIES
|
253,053 |
shares
|
409,733 | |||||||||||
LYONDELLBASELL INDS CLASS
|
23,350 |
shares
|
758,642 | |||||||||||
MACERICH COMPANY
|
49,088 |
shares
|
2,483,853 | |||||||||||
MACK CALI REALTY REIT
|
32,890 |
shares
|
877,834 | |||||||||||
MACYS INC
|
70,124 |
shares
|
2,256,590 | |||||||||||
MADISON SQUARE GARDEN CO
|
41,000 |
shares
|
1,174,240 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
MAGELLAN HLTH SVCS INC
|
88,000 |
shares
|
$ | 4,353,360 | ||||||||||
MAGYAR TELEKOM CO
|
46,848 |
shares
|
99,840 | |||||||||||
MANDO CORP
|
4,567 |
shares
|
809,605 | |||||||||||
MANITOWOC CO INC
|
460,000 |
shares
|
4,227,400 | |||||||||||
MANPOWER INC
|
3,460 |
shares
|
123,695 | |||||||||||
MARRIOTT INTL INC A
|
71,960 |
shares
|
2,099,073 | |||||||||||
MARSH & MCLENNAN COS INC
|
349,860 |
shares
|
11,062,573 | |||||||||||
MASIMO CORP
|
26,339 |
shares
|
492,144 | |||||||||||
MASTERCARD INC CL A
|
39,360 |
shares
|
14,674,195 | |||||||||||
MAXIM INTEGRATED PRODUCTS
|
287,770 |
shares
|
7,493,531 | |||||||||||
MAXIMUS INC
|
97,400 |
shares
|
4,027,490 | |||||||||||
MCDONALDS CORP
|
97,290 |
shares
|
9,761,106 | |||||||||||
MCGRAW-HILL COS INC
|
65,000 |
shares
|
2,923,050 | |||||||||||
MCKESSON CORP
|
38,935 |
shares
|
3,033,426 | |||||||||||
MEAD JOHNSON NUTRITION CO
|
89,754 |
shares
|
6,168,792 | |||||||||||
MEDIASET SPA
|
56,058 |
shares
|
155,136 | |||||||||||
MEDICIS PHARMACEUTIC CL A
|
30,397 |
shares
|
1,010,700 | |||||||||||
MEDIOBANCA SPA
|
77,739 |
shares
|
447,380 | |||||||||||
MEDNAX INC
|
157,140 |
shares
|
11,315,651 | |||||||||||
MEDTRONIC INC
|
171,928 |
shares
|
6,576,246 | |||||||||||
MEGGITT PLC ORD
|
926,124 |
shares
|
5,074,709 | |||||||||||
MEIJI HOLDINGS CO LTD
|
13,600 |
shares
|
564,568 | |||||||||||
MENS WEARHOUSE INC
|
62,200 |
shares
|
2,015,902 | |||||||||||
MERCIALYS
|
19,487 |
shares
|
628,077 | |||||||||||
MERCK & CO INC NEW
|
1,037,202 |
shares
|
39,102,515 | |||||||||||
MERCK KGAA
|
5,451 |
shares
|
543,506 | |||||||||||
METCASH LTD
|
97,957 |
shares
|
404,710 | |||||||||||
METLIFE INC
|
210,208 |
shares
|
6,554,285 | |||||||||||
METRIC PROPERTY INVESTMENT
|
118,695 |
shares
|
156,698 | |||||||||||
METRO AG
|
1,698 |
shares
|
61,981 | |||||||||||
METRO INC
|
24,513 |
shares
|
1,299,786 | |||||||||||
MICHAEL KORS HOLDINGS LTD
|
100,100 |
shares
|
2,727,725 | |||||||||||
MICHELIN CL B (REG)
|
5,482 |
shares
|
324,105 | |||||||||||
MICROS SYSTEMS INC
|
128,164 |
shares
|
5,969,879 | |||||||||||
MICROSEMI CORP
|
48,798 |
shares
|
817,367 | |||||||||||
MICROSOFT CORP
|
1,238,588 |
shares
|
32,153,744 | |||||||||||
MIDDLEBY CORP
|
10,930 |
shares
|
1,027,857 | |||||||||||
MILLICOM INTL CELL SA SDR
|
16,481 |
shares
|
1,651,477 | |||||||||||
MIRACA HOLDINGS INC
|
15,400 |
shares
|
613,279 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
MIRVAC GROUP STAPLED
|
1,053,575 |
shares
|
$ | 1,271,377 | ||||||||||
MITSUBISHI CHEMICAL HLDGS
|
162,000 |
shares
|
892,458 | |||||||||||
MITSUBISHI ELECTRIC ORD
|
171,000 |
shares
|
1,639,680 | |||||||||||
MITSUBISHI ESTATE CO LTD
|
489,630 |
shares
|
7,315,981 | |||||||||||
MITSUI CHEMICALS INC
|
177,000 |
shares
|
540,440 | |||||||||||
MITSUI FUDOSAN CO
|
457,899 |
shares
|
6,675,277 | |||||||||||
MITSUI OSK LINES LTD
|
330,000 |
shares
|
1,277,724 | |||||||||||
MMI HOLDINGS LTD
|
86,479 |
shares
|
183,186 | |||||||||||
MOBISTAR SA
|
304 |
shares
|
15,933 | |||||||||||
MOHAWK INDUSTRIES INC
|
62,400 |
shares
|
3,734,640 | |||||||||||
MOLEX INC
|
25,000 |
shares
|
596,500 | |||||||||||
MOLEX INC CLASS A
|
115,000 |
shares
|
2,274,700 | |||||||||||
MONEYGRAM INTL INC
|
155,000 |
shares
|
2,751,250 | |||||||||||
MONSANTO CO NEW
|
204,335 |
shares
|
14,317,753 | |||||||||||
MOOG INC CL A
|
61,800 |
shares
|
2,714,874 | |||||||||||
MORGAN STANLEY
|
629,780 |
shares
|
9,528,571 | |||||||||||
MORRISON SUPERMARKET
|
86,976 |
shares
|
440,653 | |||||||||||
MSC INDU DIRECT CO CL A
|
16,622 |
shares
|
1,189,304 | |||||||||||
MUNICH REINSURANCE
|
25,421 |
shares
|
3,118,730 | |||||||||||
MURPHY OIL CORP
|
123,200 |
shares
|
6,867,168 | |||||||||||
MYRIAD GENETICS INC
|
183,900 |
shares
|
3,850,866 | |||||||||||
NASDAQ OMX GROUP
|
283,450 |
shares
|
6,947,360 | |||||||||||
NATIONAL INSTRUMENT CORP
|
189,858 |
shares
|
4,926,815 | |||||||||||
NATIONAL OILWELL VARCO
|
97,987 |
shares
|
6,662,136 | |||||||||||
NATIXIS
|
579,954 |
shares
|
1,459,346 | |||||||||||
NAVIGATORS GROUP INC
|
59,000 |
shares
|
2,813,120 | |||||||||||
NCSOFT CORPORATION
|
3,501 |
shares
|
926,430 | |||||||||||
NEC CORP
|
200,000 |
shares
|
405,379 | |||||||||||
NESTE OIL OYJ
|
33,620 |
shares
|
339,656 | |||||||||||
NESTLE SA (REG)
|
51,350 |
shares
|
2,952,563 | |||||||||||
NESTLE SA REG ADR
|
69,525 |
shares
|
4,012,288 | |||||||||||
NETAPP INC
|
215,036 |
shares
|
7,799,356 | |||||||||||
NEUSTAR INC CL A
|
174,000 |
shares
|
5,945,580 | |||||||||||
NEW JERSEY RESOURCES CORP
|
48,850 |
shares
|
2,403,420 | |||||||||||
NEW WORLD DEVELOPMENT CO
|
439,273 |
shares
|
354,061 | |||||||||||
NEWFIELD EXPLORATION CO
|
116,051 |
shares
|
4,378,604 | |||||||||||
NEWMONT MINING CORP
|
3,800 |
shares
|
228,038 | |||||||||||
NEWS CORP LTD CL A
|
623,900 |
shares
|
11,130,376 | |||||||||||
NEXT PLC
|
48,270 |
shares
|
2,051,944 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
NEXTERA ENERGY
|
87,410 |
shares
|
$ | 5,321,521 | ||||||||||
NHK SPRING CO
|
87,100 |
shares
|
771,808 | |||||||||||
NHN CORP
|
442 |
shares
|
80,256 | |||||||||||
NICE SYSTEMS LTD SPON ADR
|
248,928 |
shares
|
8,575,570 | |||||||||||
NIKE INC CL B
|
114,903 |
shares
|
11,073,202 | |||||||||||
NINTENDO CO LTD
|
10,900 |
shares
|
1,501,202 | |||||||||||
NIPPON ACCOMMDTN FUND
|
59 |
shares
|
397,090 | |||||||||||
NIPPON BUILDING FUND INC
|
135 |
shares
|
1,105,048 | |||||||||||
NIPPON ELECTRIC GLASS CO
|
51,000 |
shares
|
504,931 | |||||||||||
NIPPON MEAT PACKERS INC
|
61,000 |
shares
|
757,695 | |||||||||||
NIPPON TELEG & TELEPH SPO
|
26,800 |
shares
|
678,844 | |||||||||||
NIPPON TELEGRAPH & TELEPH
|
136,000 |
shares
|
6,953,290 | |||||||||||
NIPPON YUSEN KK
|
292,000 |
shares
|
747,405 | |||||||||||
NISSHIN SEIFUN GROUP INC
|
18,500 |
shares
|
224,264 | |||||||||||
NOK CORP
|
3,900 |
shares
|
67,040 | |||||||||||
NOKIA CORP SPON ADR
|
707,929 |
shares
|
3,412,218 | |||||||||||
NOKIA OYJ
|
729,149 |
shares
|
3,560,053 | |||||||||||
NOMURA REAL ESTATE HLDGS
|
38,000 |
shares
|
565,816 | |||||||||||
NORTHEAST UTILITIES
|
49,200 |
shares
|
1,774,644 | |||||||||||
NORTHERN OIL AND GAS INC
|
165,000 |
shares
|
3,956,700 | |||||||||||
NORWEGIAN PROPERTY ASA
|
42,918 |
shares
|
52,823 | |||||||||||
NOVARTIS AG (REG)
|
2,718 |
shares
|
155,414 | |||||||||||
NOVARTIS AG SPON ADR
|
226,431 |
shares
|
12,945,060 | |||||||||||
NOVO-NORDISK AS CL B
|
68,843 |
shares
|
7,912,024 | |||||||||||
NOVO-NORDISK AS CL B ADR
|
80,555 |
shares
|
9,284,769 | |||||||||||
NOVOZYMES A/S B
|
167,765 |
shares
|
5,179,573 | |||||||||||
NRG ENERGY INC
|
296,440 |
shares
|
5,371,493 | |||||||||||
NTT DOCOMO INC
|
2,384 |
shares
|
4,382,979 | |||||||||||
NTT DOCOMO INC SPON ADR
|
6,400 |
shares
|
117,440 | |||||||||||
NTT URBAN DEVELOPMENT
|
166 |
shares
|
113,233 | |||||||||||
NUCOR CORP
|
58,000 |
shares
|
2,295,060 | |||||||||||
NVIDIA CORP
|
33,600 |
shares
|
465,696 | |||||||||||
NVR INC
|
1,200 |
shares
|
823,200 | |||||||||||
OCCIDENTAL PETROLEUM CORP
|
333,461 |
shares
|
31,245,296 | |||||||||||
OCEANEERING INTL INC
|
80,000 |
shares
|
3,690,400 | |||||||||||
OGX PETROLEO E GAS PART S
|
546,000 |
shares
|
3,991,262 | |||||||||||
OIL STATES INTL INC
|
114,000 |
shares
|
8,706,180 | |||||||||||
OLD MUTUAL PLC (UK)
|
1,427,713 |
shares
|
3,004,648 | |||||||||||
OLIN CORP
|
128,000 |
shares
|
2,515,200 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
OMEGA HEALTHCARE INVESTOR
|
16,830 |
shares
|
$ | 325,661 | ||||||||||
OMV AG
|
17,352 |
shares
|
526,472 | |||||||||||
ONYX PHARMACEUTICALS INC
|
157,130 |
shares
|
6,905,864 | |||||||||||
OPEN TEXT CORPORATION
|
6,252 |
shares
|
320,642 | |||||||||||
OPTIMER PHARMACEUTICALS
|
18,540 |
shares
|
226,930 | |||||||||||
ORACLE CORP
|
863,581 |
shares
|
22,150,853 | |||||||||||
ORBITAL SCIENCES CORP
|
270,000 |
shares
|
3,923,100 | |||||||||||
ORIENT EXPRESS HOTEL CL A
|
250,800 |
shares
|
1,873,476 | |||||||||||
ORIENT OVERSEAS INTL LTD
|
86,500 |
shares
|
505,083 | |||||||||||
ORIFLAME COSMETICS SDR
|
46,262 |
shares
|
1,461,634 | |||||||||||
ORION CORP
|
784 |
shares
|
457,426 | |||||||||||
ORION OYJ (NEW) B
|
15,684 |
shares
|
305,536 | |||||||||||
ORIX CORP
|
21,270 |
shares
|
1,757,646 | |||||||||||
OTE (GREEK TELECOM) SA
|
20,453 |
shares
|
76,246 | |||||||||||
OTP BANK (REG)
|
3,628 |
shares
|
47,940 | |||||||||||
OTSUKA HOLDINGS CO LTD
|
42,600 |
shares
|
1,197,770 | |||||||||||
OWENS ILLINOIS INC
|
58,275 |
shares
|
1,129,370 | |||||||||||
PACER INTERNATIONAL INC
|
94,190 |
shares
|
503,917 | |||||||||||
PACWEST BANCORP
|
108,800 |
shares
|
2,061,760 | |||||||||||
PAGESJAUNES GROUPE SA
|
109,989 |
shares
|
399,347 | |||||||||||
PALL CORP
|
12,102 |
shares
|
691,629 | |||||||||||
PANASONIC CORP
|
30,000 |
shares
|
254,921 | |||||||||||
PANASONIC CORP ADR
|
200,000 |
shares
|
1,678,000 | |||||||||||
PANERA BREAD CO CL A
|
6,760 |
shares
|
956,202 | |||||||||||
PAR PHARMACEUTICALS COS
|
95,800 |
shares
|
3,135,534 | |||||||||||
PAREXEL INTL CORP
|
117,600 |
shares
|
2,439,024 | |||||||||||
PARKER HANNIFIN CORP
|
9,830 |
shares
|
749,538 | |||||||||||
PARKWAY PROPERTIES - REIT
|
830 |
shares
|
8,184 | |||||||||||
PATTERSON-UTI ENERGY INC
|
31,606 |
shares
|
631,488 | |||||||||||
PCCW LTD
|
1,598,000 |
shares
|
549,360 | |||||||||||
PEABODY ENERGY CORP
|
93,815 |
shares
|
3,106,215 | |||||||||||
PEARSON PLC
|
43,366 |
shares
|
814,982 | |||||||||||
PEBBLEBROOK HOTEL TRUST
|
163,800 |
shares
|
3,141,684 | |||||||||||
PENSKE AUTOMOTIVE GROUP
|
137,300 |
shares
|
2,643,025 | |||||||||||
PEOPLES UNITED FIN INC
|
191,600 |
shares
|
2,462,060 | |||||||||||
PEPSICO INC
|
110,624 |
shares
|
7,339,902 | |||||||||||
PERRIGO CO (USA)
|
8,867 |
shares
|
862,759 | |||||||||||
PETROBRAS PN SPON ADR
|
395,313 |
shares
|
9,285,902 | |||||||||||
PETROBRAS SA SPONS ADR
|
91,566 |
shares
|
2,275,415 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
PETROFAC LTD
|
6,158 |
shares
|
$ | 137,822 | ||||||||||
PETRONAS DAGANGAN BHD
|
40,300 |
shares
|
226,290 | |||||||||||
PEUGEOT CITROEN SA
|
88,437 |
shares
|
1,386,266 | |||||||||||
PFIZER INC
|
1,799,379 |
shares
|
38,938,562 | |||||||||||
PG&E CORP
|
164,971 |
shares
|
6,800,105 | |||||||||||
PHARMASSET INC
|
5,960 |
shares
|
764,072 | |||||||||||
PHILIP MORRIS INTL INC
|
212,860 |
shares
|
16,705,253 | |||||||||||
PHILIPPINE LONG DIST SPON
|
10,075 |
shares
|
580,522 | |||||||||||
PHILIPS ELEC (KON)
|
95,000 |
shares
|
1,990,250 | |||||||||||
PIONEER NATURAL RESOURCES
|
28,960 |
shares
|
2,591,341 | |||||||||||
PIRELLI & CO
|
145,644 |
shares
|
1,226,333 | |||||||||||
PITNEY-BOWES INC
|
37,282 |
shares
|
691,208 | |||||||||||
PMC-SIERRA INC
|
299,800 |
shares
|
1,651,898 | |||||||||||
PNC FIN SVCS GRP INC
|
187,448 |
shares
|
10,810,126 | |||||||||||
POLISH OIL & GAS CO
|
69,352 |
shares
|
82,007 | |||||||||||
POLSKI KONCERN NAFTOWY OR
|
165,119 |
shares
|
1,622,286 | |||||||||||
POLYPORE INTL INC
|
15,646 |
shares
|
688,268 | |||||||||||
POOL CORP
|
22,842 |
shares
|
687,544 | |||||||||||
PORTS DESIGN LIMITED
|
357,000 |
shares
|
539,642 | |||||||||||
PORTUGAL TELECOM SGPS SA
|
96,339 |
shares
|
554,920 | |||||||||||
POST PROPERTIES - REIT
|
19,300 |
shares
|
843,796 | |||||||||||
PPL CORPORATION
|
206,830 |
shares
|
6,084,939 | |||||||||||
PPR SA
|
81,647 |
shares
|
11,693,921 | |||||||||||
PRECISION CASTPARTS CORP
|
80,014 |
shares
|
13,185,507 | |||||||||||
PRECISION DRILLING (CANA)
|
32,532 |
shares
|
335,414 | |||||||||||
PRESIDENT CHAIN STORE
|
24,000 |
shares
|
130,758 | |||||||||||
PRICELINE.COM INC
|
16,876 |
shares
|
7,893,074 | |||||||||||
PRIMARIS RETAIL REIT UT
|
11,700 |
shares
|
236,780 | |||||||||||
PRIME OFFICE REIT-AG
|
25,067 |
shares
|
141,046 | |||||||||||
PROASSURANCE CORPORATION
|
61,000 |
shares
|
4,869,020 | |||||||||||
PROCTER & GAMBLE CO
|
85,700 |
shares
|
5,717,047 | |||||||||||
PROGRESSIVE CORP OHIO
|
136,320 |
shares
|
2,659,603 | |||||||||||
PROLOGIS INC REIT
|
160,106 |
shares
|
4,577,431 | |||||||||||
PRUDENTIAL FINANCIAL INC
|
138,055 |
shares
|
6,919,317 | |||||||||||
PRUDENTIAL PLC
|
792,278 |
shares
|
7,856,912 | |||||||||||
PRYSMIAN SPA
|
9,505 |
shares
|
118,050 | |||||||||||
PS BUSINESS PKS CA REIT
|
3,660 |
shares
|
202,874 | |||||||||||
PSP SWISS PROPERTY AG
|
13,343 |
shares
|
1,116,712 | |||||||||||
PUBLIC POWER OF GREECE
|
28,461 |
shares
|
139,992 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
PUBLIC STORAGE
|
38,390 |
shares
|
$ | 5,161,919 | ||||||||||
PUBLIC SVC ENTERPRISE GRP
|
181,389 |
shares
|
5,987,651 | |||||||||||
QANTAS AIRWAYS LTD
|
80,283 |
shares
|
119,868 | |||||||||||
QUALCOMM INC
|
292,623 |
shares
|
16,006,478 | |||||||||||
QUALITY DISTR INC FL
|
38,140 |
shares
|
429,075 | |||||||||||
QUINTAIN ESTATES & DEV CO
|
281,185 |
shares
|
164,863 | |||||||||||
RAKUTEN INC (TOKYO)
|
11,811 |
shares
|
12,706,435 | |||||||||||
RALPH LAUREN CORP
|
66,767 |
shares
|
9,219,187 | |||||||||||
RAUTARUUKKI OY CL
|
28,910 |
shares
|
266,251 | |||||||||||
RAYTHEON CO
|
121,380 |
shares
|
5,872,364 | |||||||||||
RED ELECTRICA CORPORACION
|
542 |
shares
|
23,197 | |||||||||||
RED HAT INC
|
202,479 |
shares
|
8,360,358 | |||||||||||
REGAL-BELOIT CORP
|
118,606 |
shares
|
6,045,348 | |||||||||||
REGENCY CENTERS CORP REIT
|
73,690 |
shares
|
2,772,218 | |||||||||||
REGENERON PHARMACEUTICALS
|
22,265 |
shares
|
1,234,149 | |||||||||||
REGIONS FINANCIAL CORP
|
104,510 |
shares
|
449,393 | |||||||||||
RELIANCE CAPITAL LTD
|
211,552 |
shares
|
937,748 | |||||||||||
RELIANCE STEEL & ALUMINUM
|
65,300 |
shares
|
3,179,457 | |||||||||||
RENAISSANCERE HLDGS LTD
|
115,900 |
shares
|
8,619,483 | |||||||||||
RENAULT SA ORD
|
81,919 |
shares
|
2,841,764 | |||||||||||
RENT A CTR INC
|
71,400 |
shares
|
2,641,800 | |||||||||||
REPSOL YPF SA ORD
|
162,911 |
shares
|
5,005,047 | |||||||||||
RESEARCH IN MOTION LTD
|
75,642 |
shares
|
1,096,809 | |||||||||||
RESMED INC
|
15,628 |
shares
|
396,951 | |||||||||||
RESOLUTION LTD
|
544,644 |
shares
|
2,126,627 | |||||||||||
RESOURCES CONNECTION INC
|
270,000 |
shares
|
2,859,300 | |||||||||||
RETAIL OPPORTUNITY INVTS
|
29,688 |
shares
|
351,506 | |||||||||||
RICHEMONT CIE FINANCIERE
|
219,959 |
shares
|
11,127,351 | |||||||||||
RIOCAN REAL ESTATE INV TR
|
135,430 |
shares
|
3,514,744 | |||||||||||
RIVERBED TECHNOLOGY INC
|
26,213 |
shares
|
616,006 | |||||||||||
ROCHE HLDGS GENUSSSCHEINE
|
2,106 |
shares
|
356,999 | |||||||||||
ROCHE HLDGS LTD SPON ADR
|
192,388 |
shares
|
8,186,109 | |||||||||||
ROGERS CORP
|
45,300 |
shares
|
1,669,758 | |||||||||||
ROHM CO LTD
|
36,500 |
shares
|
1,702,527 | |||||||||||
ROLLS-ROYCE HLDGS CLASS C
|
69,070,242 |
shares
|
107,276 | |||||||||||
ROLLS-ROYCE HOLDINGS PLC
|
839,018 |
shares
|
9,727,797 | |||||||||||
ROPER INDUSTRIES INC
|
33,322 |
shares
|
2,894,682 | |||||||||||
ROSNEFT OC OJSC GDR REGS
|
170,848 |
shares
|
1,127,597 | |||||||||||
ROWAN COMPANIES INC
|
110,200 |
shares
|
3,342,366 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
ROYAL DUTCH SHELL SP CL A
|
105,000 |
shares
|
$ | 7,674,450 | ||||||||||
RPM INTERNATIONAL INC
|
295,900 |
shares
|
7,264,345 | |||||||||||
RSA INSURANCE GROUP PLC
|
498,311 |
shares
|
814,197 | |||||||||||
RSC HOLDINGS INC
|
205,687 |
shares
|
3,805,209 | |||||||||||
RTI INTL METALS INC
|
70,100 |
shares
|
1,627,021 | |||||||||||
RWE AG
|
21,179 |
shares
|
744,293 | |||||||||||
RYDER SYSTEM INC
|
75,000 |
shares
|
3,985,500 | |||||||||||
SABESP
|
24,268 |
shares
|
1,350,514 | |||||||||||
SABMILLER PLC (UK)
|
120,171 |
shares
|
4,230,277 | |||||||||||
SAFESTORE HOLDINGS LTD
|
382,573 |
shares
|
594,193 | |||||||||||
SAGE GROUP PLC
|
357,088 |
shares
|
1,631,666 | |||||||||||
SALESFORCE.COM INC
|
103,534 |
shares
|
10,504,560 | |||||||||||
SALIX PHARMACEUTICALS LTD
|
14,500 |
shares
|
693,825 | |||||||||||
SALLY BEAUTY HLDGS INC
|
151,600 |
shares
|
3,203,308 | |||||||||||
SAMPO OYJ SER A
|
30,282 |
shares
|
751,407 | |||||||||||
SAMSUNG ELECTRONICS CO
|
13,756 |
shares
|
12,524,287 | |||||||||||
SAMSUNG FIRE & MARINE INS
|
6,749 |
shares
|
1,225,454 | |||||||||||
SAMSUNG SDI CO LTD
|
112 |
shares
|
12,867 | |||||||||||
SANCHEZ ENERGY CORP
|
76,200 |
shares
|
1,315,212 | |||||||||||
SANDRIDGE ENERGY INC
|
272,420 |
shares
|
2,222,947 | |||||||||||
SANDVIK AB
|
414,604 |
shares
|
5,088,478 | |||||||||||
SANOFI SPON ADR
|
315,040 |
shares
|
11,511,562 | |||||||||||
SANTOS LTD
|
7,225 |
shares
|
90,437 | |||||||||||
SAP AG SPON ADR
|
21,210 |
shares
|
1,123,069 | |||||||||||
SAPPI LTD SPONS ADR
|
8,904 |
shares
|
25,465 | |||||||||||
SAPUTO INC
|
23,506 |
shares
|
900,863 | |||||||||||
SASOL LTD
|
113,877 |
shares
|
5,438,097 | |||||||||||
SBA COMM CORP CL A
|
391,611 |
shares
|
16,823,609 | |||||||||||
SBM OFFSHORE NV
|
7,950 |
shares
|
163,824 | |||||||||||
SCANSOURCE INC
|
104,500 |
shares
|
3,762,000 | |||||||||||
SCHLUMBERGER LTD
|
322,689 |
shares
|
22,042,886 | |||||||||||
SCHWAB CHARLES CORP
|
500,000 |
shares
|
5,630,000 | |||||||||||
SCOR SE
|
10,632 |
shares
|
248,543 | |||||||||||
SCOTTS MIRACLE GRO C CL A
|
17,624 |
shares
|
822,865 | |||||||||||
SEATTLE GENETICS INC
|
20,830 |
shares
|
348,173 | |||||||||||
SEGRO PLC
|
206,642 |
shares
|
669,172 | |||||||||||
SEI INV CORP
|
27,278 |
shares
|
473,273 | |||||||||||
SEIKO EPSON CORP
|
67,400 |
shares
|
895,864 | |||||||||||
SEKISUI CHEMICAL CO LTD
|
121,000 |
shares
|
998,311 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
SEMPRA ENERGY
|
112,237 |
shares
|
$ | 6,173,035 | ||||||||||
SENIOR HOUSING PPTYS TR R
|
53,520 |
shares
|
1,200,989 | |||||||||||
SENSATA TECH HOLDG BV
|
23,773 |
shares
|
624,754 | |||||||||||
SEVEN & I HOLDINGS CO LTD
|
102,700 |
shares
|
2,862,230 | |||||||||||
SHAFTESBURY PLC
|
17,011 |
shares
|
123,437 | |||||||||||
SHARP CORP
|
31,000 |
shares
|
271,071 | |||||||||||
SHINSEGAE CO LTD
|
1,387 |
shares
|
292,427 | |||||||||||
SHIONOGI & CO LTD
|
72,600 |
shares
|
932,910 | |||||||||||
SHIRE PLC
|
61,421 |
shares
|
2,139,733 | |||||||||||
SHIRE PLC SPON ADR
|
131,573 |
shares
|
13,670,435 | |||||||||||
SHISEIDO CO LTD
|
27,300 |
shares
|
501,910 | |||||||||||
SHOPPERS DRUG MART CORP
|
25,534 |
shares
|
1,031,489 | |||||||||||
SIAM COMMERCIAL BANK PCL
|
155,300 |
shares
|
572,546 | |||||||||||
SIGNATURE BANK
|
52,065 |
shares
|
3,123,379 | |||||||||||
SIGNET JEWELERS LTD (UK)
|
52,400 |
shares
|
2,277,968 | |||||||||||
SILGAN HOLDINGS INC
|
58,200 |
shares
|
2,248,848 | |||||||||||
SILIC (STE IMMOB LOC IND)
|
1,652 |
shares
|
160,226 | |||||||||||
SILIC (STE IMMOB LOC IND)
|
4,260 |
shares
|
413,175 | |||||||||||
SILICON LABORATORIES INC
|
62,100 |
shares
|
2,696,382 | |||||||||||
SIMON PPTY GROUP - REIT
|
152,660 |
shares
|
19,683,980 | |||||||||||
SINGAPORE EXCHANGE LTD
|
515,000 |
shares
|
2,433,759 | |||||||||||
SINGAPORE TELECOM (SING)
|
155,000 |
shares
|
369,233 | |||||||||||
SINO LAND CO
|
796,149 |
shares
|
1,133,753 | |||||||||||
SIRIUS XM RADIO INC
|
409,800 |
shares
|
745,836 | |||||||||||
SIRONA DENTAL SYSTEMS INC
|
119,900 |
shares
|
5,280,396 | |||||||||||
SJM HOLDINGS LIMITED
|
550,000 |
shares
|
897,948 | |||||||||||
SK C&C CO LTD
|
1,864 |
shares
|
187,675 | |||||||||||
SK HOLDINGS CO LTD
|
7,865 |
shares
|
818,954 | |||||||||||
SK NETWORKS CO LTD
|
33,550 |
shares
|
291,601 | |||||||||||
SK TELECOM (1/9) SPON ADR
|
4,961 |
shares
|
67,519 | |||||||||||
SKYWORKS SOLUTIONS INC
|
42,474 |
shares
|
688,928 | |||||||||||
SL GREEN REALTY CORP REIT
|
33,140 |
shares
|
2,208,450 | |||||||||||
SLM CORP
|
236,000 |
shares
|
3,162,400 | |||||||||||
SMA SOLAR TECHNOLOGY AG
|
52,221 |
shares
|
2,917,732 | |||||||||||
SMC CORP
|
42,400 |
shares
|
6,842,175 | |||||||||||
SMITH & NEPHEW PLC
|
108,521 |
shares
|
1,054,276 | |||||||||||
SMITH & NEPHEW PLC SPON A
|
5,600 |
shares
|
269,640 | |||||||||||
SOC QUIMICA Y MIN CH PFD
|
46,000 |
shares
|
2,477,100 | |||||||||||
SOCIETE GENE PARIS CL A
|
102,050 |
shares
|
2,272,669 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
SOFTBANK CORP
|
180,400 |
shares
|
$ | 5,313,672 | ||||||||||
SOHO CHINA LTD
|
489,000 |
shares
|
325,513 | |||||||||||
SOJITZ CORPORATION
|
457,100 |
shares
|
706,749 | |||||||||||
SOLERA HOLDINGS INC
|
180,436 |
shares
|
8,036,619 | |||||||||||
SOLVAY CL A
|
7,084 |
shares
|
583,732 | |||||||||||
SONAE SIERRA BRASIL
|
19,100 |
shares
|
246,028 | |||||||||||
SONY CORP ADR
|
180,400 |
shares
|
3,254,416 | |||||||||||
SOTHEBY'S
|
156,000 |
shares
|
4,450,680 | |||||||||||
SOUTHWEST AIRLINES CO
|
712,000 |
shares
|
6,094,720 | |||||||||||
SOVRAN SELF STORAGE REIT
|
4,000 |
shares
|
170,680 | |||||||||||
SPAR GROUP LTD
|
103,268 |
shares
|
1,389,128 | |||||||||||
SPECTRA ENERGY CORP
|
261,500 |
shares
|
8,041,125 | |||||||||||
SPONDA OYJ
|
56,585 |
shares
|
228,520 | |||||||||||
SPRINT NEXTEL CORP
|
2,261,500 |
shares
|
5,291,910 | |||||||||||
SPX CORP
|
82,000 |
shares
|
4,942,140 | |||||||||||
ST JOE COMPANY
|
144,500 |
shares
|
2,118,370 | |||||||||||
ST JUDE MEDICAL INC
|
60,850 |
shares
|
2,087,155 | |||||||||||
ST MODWEN PROPERTIES PLC
|
163,790 |
shares
|
287,461 | |||||||||||
STAG INDUSTRIAL INC
|
8,560 |
shares
|
98,183 | |||||||||||
STANDARD CHARTERED PLC
|
536,439 |
shares
|
11,739,368 | |||||||||||
STANDARD LIFE PLC
|
298,040 |
shares
|
954,964 | |||||||||||
STARBUCKS CORP
|
292,318 |
shares
|
13,449,551 | |||||||||||
STARHUB LTD
|
79,000 |
shares
|
177,227 | |||||||||||
STARWOOD HTLS & RESRT WRL
|
86,979 |
shares
|
4,172,383 | |||||||||||
STARWOOD PROPERTY TR INC
|
31,050 |
shares
|
574,735 | |||||||||||
STATE STREET CORP
|
157,223 |
shares
|
6,337,659 | |||||||||||
STATOIL ASA
|
53,209 |
shares
|
1,365,828 | |||||||||||
STATOIL ASA SPONS ADR
|
14,555 |
shares
|
372,754 | |||||||||||
STE DE LA TOUR EIFFEL
|
1,534 |
shares
|
76,307 | |||||||||||
STEEL DYNAMICS INC
|
8,910 |
shares
|
117,166 | |||||||||||
STERICYCLE INC
|
11,604 |
shares
|
904,184 | |||||||||||
STIFEL FINANCIAL CORP
|
56,400 |
shares
|
1,807,620 | |||||||||||
STMICROELECTRONICS NV
|
99,108 |
shares
|
587,710 | |||||||||||
STMICROELECTRONICS NV
|
129,150 |
shares
|
767,486 | |||||||||||
STOCKLAND UNITS (STAPLED)
|
895,890 |
shares
|
2,922,620 | |||||||||||
STORA ENSO AB R 1/10 VTG
|
115,439 |
shares
|
691,535 | |||||||||||
SUEZ ENVIRONMENT CO
|
33,754 |
shares
|
388,895 | |||||||||||
SUMITOMO ELECTRIC INDS
|
115,600 |
shares
|
1,258,660 | |||||||||||
SUMITOMO REALTY & DEV CO
|
140,000 |
shares
|
2,452,024 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
SUN HUNG KAI PROPERTIES
|
1,023,298 |
shares
|
$ | 12,826,470 | ||||||||||
SUN LIFE FINANCIAL INC
|
2,749 |
shares
|
51,017 | |||||||||||
SUNCORP GROUP LTD
|
74,991 |
shares
|
642,658 | |||||||||||
SUNTEC REIT
|
143,000 |
shares
|
118,510 | |||||||||||
SUNTRUST BANKS INC
|
155,000 |
shares
|
2,743,500 | |||||||||||
SUPERIOR ENERGY SVCS INC
|
91,100 |
shares
|
2,590,884 | |||||||||||
SURGUTNEFTEGAZ SPON ADR
|
87,670 |
shares
|
691,716 | |||||||||||
SURGUTNEFTEGAZ SPON ADR
|
230,300 |
shares
|
1,172,227 | |||||||||||
SUSQUEHANNA BANCSHARES
|
248,600 |
shares
|
2,083,268 | |||||||||||
SVB FINL GROUP
|
45,300 |
shares
|
2,160,357 | |||||||||||
SVENSKA HANDELSBANKEN SER
|
246,297 |
shares
|
6,478,768 | |||||||||||
SWATCH GROUP AG (BR)
|
5,349 |
shares
|
2,001,995 | |||||||||||
SWIRE PACIFIC LTD CL A
|
10,500 |
shares
|
126,745 | |||||||||||
SWISS PRIME SITE AG
|
11,657 |
shares
|
875,687 | |||||||||||
SXC HEALTH SOLUTIONS CORP
|
22,028 |
shares
|
1,244,141 | |||||||||||
SYMANTEC CORP
|
340,000 |
shares
|
5,321,000 | |||||||||||
SYNGENTA AG (SWIT)
|
28,512 |
shares
|
8,348,826 | |||||||||||
SYNOPSYS INC
|
150,000 |
shares
|
4,080,000 | |||||||||||
TAISHO PHARMA HLDGS CO
|
12,000 |
shares
|
926,135 | |||||||||||
TAIWAN SEMICONDUCT MFG CO
|
2,013,000 |
shares
|
5,038,316 | |||||||||||
TAL INTL GROUP INC
|
94,000 |
shares
|
2,706,260 | |||||||||||
TAMBANG BATUBARA BUKIT AS
|
159,500 |
shares
|
305,192 | |||||||||||
TANGER FACTORY OUTLET - R
|
22,900 |
shares
|
671,428 | |||||||||||
TARGET CORP
|
40,303 |
shares
|
2,064,320 | |||||||||||
TAUBMAN CENTERS INC
|
20,600 |
shares
|
1,279,260 | |||||||||||
TAURON POLSKA ENERGIA SA
|
452,655 |
shares
|
701,862 | |||||||||||
TE CONNECTIVITY LTD
|
263,500 |
shares
|
8,118,435 | |||||||||||
TECHNE CORP
|
9,346 |
shares
|
637,958 | |||||||||||
TELE2 AB B SHS
|
107,253 |
shares
|
2,087,107 | |||||||||||
TELECOM ITALIA SPA
|
930,096 |
shares
|
1,000,454 | |||||||||||
TELECOM NEW ZEALAND
|
385,599 |
shares
|
621,431 | |||||||||||
TELECOM NEW ZEALAND ADR
|
41,895 |
shares
|
334,741 | |||||||||||
TELEDYNE TECHNOLOGIES INC
|
10,715 |
shares
|
587,718 | |||||||||||
TELEFONICA BRASIL SA SPON
|
49,702 |
shares
|
1,358,356 | |||||||||||
TELEFONICA CZECH REPUBLIC
|
18,571 |
shares
|
360,103 | |||||||||||
TELEKOM MALAYSIA BHD
|
350,900 |
shares
|
549,042 | |||||||||||
TELENOR AS
|
126,751 |
shares
|
2,079,327 | |||||||||||
TELSTRA CORP LTD
|
1,549,334 |
shares
|
5,276,140 | |||||||||||
TELSTRA CORP LTD SPON ADR
|
25,422 |
shares
|
433,445 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
TEMPUR PEDIC INTL INC
|
79,900 |
shares
|
$ | 4,197,147 | ||||||||||
TENARIS SA SPON ADR
|
26,030 |
shares
|
967,795 | |||||||||||
TENCENT HOLDINGS LIMITED
|
950,028 |
shares
|
19,094,503 | |||||||||||
TERADATA CORP
|
18,040 |
shares
|
875,120 | |||||||||||
TERADYNE INC
|
452,400 |
shares
|
6,166,212 | |||||||||||
TESCO PLC
|
610,825 |
shares
|
3,827,542 | |||||||||||
TEVA PHARMACEUTICAL IND A
|
78,200 |
shares
|
3,156,152 | |||||||||||
TEXAS CAPITAL BANCSHARES
|
94,200 |
shares
|
2,883,462 | |||||||||||
TEXAS INSTRUMENTS INC
|
64,910 |
shares
|
1,889,530 | |||||||||||
TF-1
|
59,773 |
shares
|
583,526 | |||||||||||
THAI OIL PCL (FOR)
|
110,700 |
shares
|
204,935 | |||||||||||
THALES
|
19,038 |
shares
|
601,284 | |||||||||||
THERMO FISHER SCIENTIFIC
|
191,326 |
shares
|
8,603,930 | |||||||||||
THOR INDUSTRIES INC
|
146,000 |
shares
|
4,004,780 | |||||||||||
TIBCO SOFTWARE INC
|
163,550 |
shares
|
3,910,480 | |||||||||||
TIFFANY & CO
|
87,291 |
shares
|
5,783,902 | |||||||||||
TIM PARTICIPACOES SA SPON
|
38,426 |
shares
|
991,391 | |||||||||||
TIME WARNER CABLE
|
225,800 |
shares
|
14,354,106 | |||||||||||
TIME WARNER INC
|
732,301 |
shares
|
26,465,358 | |||||||||||
TIMKEN CO
|
5,390 |
shares
|
208,647 | |||||||||||
TITAN INTERNATIONAL INC
|
170,879 |
shares
|
3,325,305 | |||||||||||
TJX COMPANIES INC NEW
|
136,762 |
shares
|
8,827,987 | |||||||||||
TOKYO TATEMONO CO
|
27,000 |
shares
|
81,738 | |||||||||||
TOSOH CORP
|
137,000 |
shares
|
366,686 | |||||||||||
TOTAL SA SPONS ADR
|
246,646 |
shares
|
12,606,077 | |||||||||||
TOWERS WATSON & CO CL A
|
16,130 |
shares
|
966,671 | |||||||||||
TOYO SUISAN KAISHA LTD
|
34,000 |
shares
|
823,881 | |||||||||||
TOYODA GOSEI CO
|
14,300 |
shares
|
227,975 | |||||||||||
TOYOTA BOSHOKU CORP
|
48,700 |
shares
|
508,102 | |||||||||||
TOYOTA INDUSTRIES CORP
|
34,800 |
shares
|
947,262 | |||||||||||
TOYOTA TSUSHO CORP
|
4,000 |
shares
|
70,733 | |||||||||||
TRACTEBEL ENERGIA SA
|
8,400 |
shares
|
135,071 | |||||||||||
TRANSDIGM GROUP INC
|
92,572 |
shares
|
8,857,289 | |||||||||||
TRANSOCEAN CV 1.5 12/37 C
|
100,000 |
shares
|
98,250 | |||||||||||
TRAVELERS COMPANIES INC
|
51,716 |
shares
|
3,060,036 | |||||||||||
TRIMAS CORP
|
120,622 |
shares
|
2,165,165 | |||||||||||
TRIMBLE NAVIGATION LTD
|
176,669 |
shares
|
7,667,435 | |||||||||||
TRUEBLUE INC
|
139,840 |
shares
|
1,940,979 | |||||||||||
TUI AG
|
371,057 |
shares
|
2,303,981 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
TUI TRAVEL PLC
|
163,656 |
shares
|
$ | 421,434 | ||||||||||
TURK TELEKOMUNIKASYON
|
460,462 |
shares
|
1,714,824 | |||||||||||
TURKIYE GARANTI BANKASI
|
2,468,063 |
shares
|
7,724,972 | |||||||||||
TYCO INTL LTD
|
109,250 |
shares
|
5,103,067 | |||||||||||
UBS AG REG (USA)
|
34,007 |
shares
|
402,303 | |||||||||||
UDR INC
|
85,900 |
shares
|
2,156,090 | |||||||||||
ULTRAPAR PARTICPAC-SPON A
|
82,548 |
shares
|
1,419,826 | |||||||||||
UNIBAIL-RODAMCO
|
36,091 |
shares
|
6,488,879 | |||||||||||
UNICREDIT SPA
|
298,909 |
shares
|
2,483,948 | |||||||||||
UNILEVER NV (NY REGD)
|
138,436 |
shares
|
4,758,045 | |||||||||||
UNILEVER PLC SPONS ADR
|
105,000 |
shares
|
3,519,600 | |||||||||||
UNION PACIFIC CORP
|
237,994 |
shares
|
25,213,084 | |||||||||||
UNIONE DI BANCHE ITALIANE
|
55,691 |
shares
|
228,226 | |||||||||||
UNITE GROUP PLC
|
168,331 |
shares
|
439,225 | |||||||||||
UNITED INTERNET AG (REG)
|
35,212 |
shares
|
628,982 | |||||||||||
UNITED NATURAL FOODS INC
|
200,300 |
shares
|
8,014,003 | |||||||||||
UNITED STATES STEEL CORP
|
47,500 |
shares
|
1,256,850 | |||||||||||
UNITED TECHNOLOGIES CORP
|
209,053 |
shares
|
15,279,684 | |||||||||||
UNITED TRACTORS PT
|
466,000 |
shares
|
1,354,188 | |||||||||||
UNITED URBAN INVESTMENT
|
334 |
shares
|
378,850 | |||||||||||
UNITEDHEALTH GROUP INC
|
310,541 |
shares
|
15,738,218 | |||||||||||
UNIVERSAL HEALTH SVC CL B
|
11,105 |
shares
|
431,540 | |||||||||||
UNIVERSAL ROBINA CORP
|
62,716 |
shares
|
68,667 | |||||||||||
UNUM GROUP
|
84,600 |
shares
|
1,782,522 | |||||||||||
UNY CO LTD
|
110,200 |
shares
|
992,251 | |||||||||||
UOL GROUP LIMITED
|
39,000 |
shares
|
120,264 | |||||||||||
UPM KYMMENE CORP
|
47,156 |
shares
|
519,439 | |||||||||||
URBAN OUTFITTERS
|
113,664 |
shares
|
3,132,580 | |||||||||||
URS CORP NEW
|
17,276 |
shares
|
606,733 | |||||||||||
US BANCORP DEL
|
358,710 |
shares
|
9,703,105 | |||||||||||
UTI WORLDWIDE INC
|
293,100 |
shares
|
3,895,299 | |||||||||||
VALE SA SPONS PREF ADR
|
420,300 |
shares
|
8,658,180 | |||||||||||
VALEANT PHARMACEUTICALS I
|
22,301 |
shares
|
1,043,662 | |||||||||||
VALIDUS HOLDING
|
88,800 |
shares
|
2,797,200 | |||||||||||
VANGUARD HEALTH SYS INC
|
186,000 |
shares
|
1,900,920 | |||||||||||
VARIAN MEDICAL SYS INC
|
12,982 |
shares
|
871,482 | |||||||||||
VASTNED RETAIL NV
|
292 |
shares
|
13,078 | |||||||||||
VENTAS INC REIT
|
46,582 |
shares
|
2,568,066 | |||||||||||
VEOLIA ENVIRONNEMENT SPON
|
6,601 |
shares
|
72,941 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
VERIFONE SYSTEMS INC
|
42,830 |
shares
|
$ | 1,521,322 | ||||||||||
VERISIGN INC
|
22,240 |
shares
|
794,413 | |||||||||||
VERIZON COMM INC
|
166,532 |
shares
|
6,681,264 | |||||||||||
VERTEX PHARMACEUTICALS
|
108,241 |
shares
|
3,594,684 | |||||||||||
VESTAS WIND SYSTEMS AS
|
93,089 |
shares
|
1,005,018 | |||||||||||
VIENNA INSURANCE GROUP AG
|
11,261 |
shares
|
446,324 | |||||||||||
VISA INC CL A
|
67,111 |
shares
|
6,813,780 | |||||||||||
VITERRA INC
|
19,024 |
shares
|
200,626 | |||||||||||
VITRAN CORP INC (US)
|
23,150 |
shares
|
133,344 | |||||||||||
VIVENDI
|
238,471 |
shares
|
5,222,813 | |||||||||||
VMWARE INC CL A
|
101,129 |
shares
|
8,412,921 | |||||||||||
VODACOM GROUP (PTY) LTD
|
90,796 |
shares
|
1,001,021 | |||||||||||
VODAFONE GROUP PLC
|
1,279,597 |
shares
|
3,555,469 | |||||||||||
VODAFONE GROUP PLC SPON A
|
530,006 |
shares
|
14,856,068 | |||||||||||
VOLCANO CORP
|
147,300 |
shares
|
3,504,267 | |||||||||||
VORNADO REALTY TRUST
|
83,528 |
shares
|
6,419,962 | |||||||||||
VULCAN MATERIALS CO
|
217,000 |
shares
|
8,538,950 | |||||||||||
WABCO HOLDINGS INC
|
182,900 |
shares
|
7,937,860 | |||||||||||
WABTEC
|
37,000 |
shares
|
2,588,150 | |||||||||||
WAL MART STORES INC
|
283,465 |
shares
|
16,939,868 | |||||||||||
WASHINGTON FEDERAL INC
|
77,400 |
shares
|
1,082,826 | |||||||||||
WASTE CONNECTIONS INC
|
33,722 |
shares
|
1,117,547 | |||||||||||
WATERS CORP
|
5,919 |
shares
|
438,302 | |||||||||||
WATSCO INC
|
3,013 |
shares
|
197,833 | |||||||||||
WATSON PHARMACEUTICALS
|
14,060 |
shares
|
848,380 | |||||||||||
WATTS WATER TECH INC CL A
|
36,100 |
shares
|
1,234,981 | |||||||||||
WEINGARTEN REALTY INVS RE
|
75,400 |
shares
|
1,645,228 | |||||||||||
WEIR GROUP PLC
|
2,917 |
shares
|
92,060 | |||||||||||
WELLCARE HEALTH PLANS INC
|
14,214 |
shares
|
746,235 | |||||||||||
WELLS FARGO & CO
|
1,475,070 |
shares
|
40,652,929 | |||||||||||
WELLS FARGO 7.5 PC PERP A
|
100 |
shares
|
105,400 | |||||||||||
WENDEL
|
7,201 |
shares
|
480,030 | |||||||||||
WERELDHAVE NV
|
3,015 |
shares
|
200,243 | |||||||||||
WERNER ENTERPRISES INC
|
72,900 |
shares
|
1,756,890 | |||||||||||
WESCO INTERNATIONAL INC
|
212,100 |
shares
|
11,243,421 | |||||||||||
WESFARMERS LTD
|
131,824 |
shares
|
3,976,889 | |||||||||||
WESTERN UNION CO
|
525,200 |
shares
|
9,590,152 | |||||||||||
WESTFIELD GROUP STAPLED U
|
903,142 |
shares
|
7,213,302 | |||||||||||
WESTFIELD RETAIL TR STAPL
|
1,368,785 |
shares
|
3,485,472 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common stock (continued)
|
||||||||||||||
WESTLAKE CHEMICAL CORP
|
19,230 |
shares
|
$ | 773,815 | ||||||||||
WESTON GEORGE LTD
|
12,695 |
shares
|
848,785 | |||||||||||
WEYERHAEUSER CO
|
321,000 |
shares
|
5,993,070 | |||||||||||
WHARF HOLDINGS LTD
|
571,770 |
shares
|
2,584,030 | |||||||||||
WHITBREAD PLC
|
40,968 |
shares
|
995,165 | |||||||||||
WHITING PETROLEUM CORP
|
136,040 |
shares
|
6,351,708 | |||||||||||
WHOLE FOODS MARKET INC
|
116,758 |
shares
|
8,124,022 | |||||||||||
WILEY (JOHN) & SONS CL A
|
110,000 |
shares
|
4,884,000 | |||||||||||
WILLIAMS COMPANIES INC
|
95,900 |
shares
|
3,166,618 | |||||||||||
WINTHROP REALTY TRUST NEW
|
17,680 |
shares
|
179,806 | |||||||||||
WOLVERINE WORLD WIDE INC
|
24,842 |
shares
|
885,369 | |||||||||||
WOODSIDE PETROLEUM LTD
|
189,480 |
shares
|
5,933,290 | |||||||||||
WOODWARD INC
|
21,615 |
shares
|
884,702 | |||||||||||
WOOLWORTHS (AUSTRALIA)
|
189,275 |
shares
|
4,858,408 | |||||||||||
WOOLWORTHS HLDGS (SOAF)
|
67,811 |
shares
|
327,606 | |||||||||||
WRIGHT EXPRESS CORP
|
180,000 |
shares
|
9,770,400 | |||||||||||
WYNDHAM WORLDWIDE CORP
|
21,000 |
shares
|
794,430 | |||||||||||
XEROX CORP
|
680,000 |
shares
|
5,412,800 | |||||||||||
XL GROUP PLC
|
234,866 |
shares
|
4,643,301 | |||||||||||
YAMADA DENKI CO LTD
|
42,280 |
shares
|
2,878,545 | |||||||||||
YAMAHA MOTOR CO LTD
|
262,000 |
shares
|
3,315,637 | |||||||||||
YAMAZAKI BAKING CO LTD
|
8,000 |
shares
|
105,087 | |||||||||||
YELLOW MEDIA INC
|
165,006 |
shares
|
29,975 | |||||||||||
YOUKU INC ADR
|
23,905 |
shares
|
374,591 | |||||||||||
4,096,130,055 | ||||||||||||||
Preferred stock
|
||||||||||||||
CITIGROUP CAP XIII
|
104,500 |
shares
|
2,723,270 | |||||||||||
HYUNDAI MOTOR CO LTD PFD
|
8,906 |
shares
|
486,667 | |||||||||||
INTESA SANPAOLO SPA N/C R
|
248,129 |
shares
|
309,455 | |||||||||||
MAN SE PFD
|
3,197 |
shares
|
200,082 | |||||||||||
PORSCHE AUTO HLDG NON-VTG
|
83,737 |
shares
|
4,481,892 | |||||||||||
SAMSUNG ELECTRONICS CO PF
|
238 |
shares
|
136,608 | |||||||||||
TELECOM ITALIA SPA RISP
|
303,968 |
shares
|
272,272 | |||||||||||
8,610,246 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Common collective trusts
|
||||||||||||||
BTC ACWI XUS INDEX FUND
|
21,559,302 |
units
|
$ | 354,866,111 | ||||||||||
BTC RUSSELL 1000 INDX FD
|
92,083,947 |
units
|
1,293,779,452 | |||||||||||
BTC RUSSELL 2500 INDEX FD
|
37,978,304 |
units
|
467,512,920 | |||||||||||
BTC US DEBT INDEX FUND CL
|
17,129,048 |
units
|
457,688,161 | |||||||||||
INVESTEC GDR FD
|
736,648 |
units
|
74,121,551 | |||||||||||
JP MORGAN FOCUS FD
|
14,600,929 |
units
|
222,080,135 | |||||||||||
LAZARD EMERG MKTS COLL TR
|
15,722,484 |
units
|
221,215,350 | |||||||||||
3,091,263,680 |
Corporate debt
|
||||||
AEGON NV GLBL
|
$825,000 principal, 4.625%, due 12/01/2015
|
855,430 | ||||
AEGON NV GLBL
|
$6,105,000 principal, 4.75%, due 6/01/2013
|
6,247,442 | ||||
AID
|
$200,000 principal, 5.5%, due 9/18/2033
|
264,205 | ||||
AIG INTL
|
$6,275,000 principal, 4.25%, due 9/15/2014
|
6,094,594 | ||||
AIG INTL
|
$700,000 principal, 6.25%, due 5/1/2036
|
625,766 | ||||
AIG INTL /VR
|
$100,000 principal, 8.175%, due 5/15/2068
|
89,000 | ||||
AIG INTL MTN
|
$1,475,000 principal, 8.25%, due 8/15/2018
|
1,560,892 | ||||
ALABAMA POWER
|
$100,000 principal, 6.125%, due 5/15/2038
|
132,894 | ||||
ALCOA INC GLB
|
$1,400,000 principal, 5.95%, due 2/1/2037
|
1,325,597 | ||||
ALLY FINL FRN
|
$300,000 principal, 3.71%, due 2/11/2014
|
283,500 | ||||
ALLY FINL INC
|
$9,600,000 principal, 4.5%, due 2/11/2014
|
9,216,000 | ||||
ALTRIA GROUP
|
$900,000 principal, 10.2%, due 2/6/2039
|
1,398,304 | ||||
ALTRIA GROUP
|
$200,000 principal, 9.95%, due 11/10/2038
|
303,718 | ||||
AMERADA HESS CO
|
$100,000 principal, 7.3%, due 8/15/2031
|
128,132 | ||||
AMERICA MOVIL
|
$200,000 principal, 6.125%, due 11/15/2037
|
236,776 | ||||
AMERICA MOVIL
|
$100,000 principal, 6.125%, due 3/30/2040
|
118,671 | ||||
AMEX
|
$600,000 principal, 8.15%, due 3/19/2038
|
888,701 | ||||
AMGEN
|
$100,000 principal, 6.9%, due 6/01/2038
|
122,977 | ||||
AMGEN INC
|
$800,000 principal, 5.65%, due 6/15/2042
|
868,021 | ||||
AMGEN INC
|
$100,000 principal, 6.375%, due 6/01/2037
|
115,726 | ||||
ANADARKO FIN CO
|
$100,000 principal, 7.5%, due 5/01/2031
|
120,815 | ||||
ANADARKO MTN
|
$300,000 principal, 6.2%, due 3/15/2040
|
333,260 | ||||
ANADARKO PETRO
|
$1,600,000 principal, 6.45%, due 9/15/2036
|
1,821,067 | ||||
ANHEUSER BUSCH
|
$100,000 principal, 8.2%, due 1/15/2039
|
157,374 | ||||
ANHEUSER BUSCH
|
$100,000 principal, 6.375%, due 1/15/2040
|
137,136 | ||||
AOL TIME WARNER
|
$3,550,000 principal, 7.625%, due 4/15/2031
|
4,575,975 | ||||
AOL TIME WARNER
|
$725,000 principal, 7.7%, due 5/01/2032
|
944,486 | ||||
APPALACHIAN PWR
|
$240,000 principal, 6.7%, due 8/15/2037
|
309,885 | ||||
APPALACHIAN PWR
|
$500,000 principal, 7%, due 4/1/2038
|
669,821 | ||||
ARCELORMITTA
|
$800,000 principal, 7%, due 10/15/2039
|
742,326 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
ASTRAZENECA PLC
|
$110,000 principal, 6.45%, due 9/15/2037
|
$ | 148,095 | |||
AT&T BROAD GLBL
|
$200,000 principal, 9.455%, due 11/15/2022
|
284,872 | ||||
AT&T CORP
|
$1,154,000 principal, 8.0%, due 11/15/2031
|
1,627,658 | ||||
AT&T INC
|
$6,900,000 principal, 2.5%, due 8/15/2015
|
7,145,978 | ||||
AT&T INC
|
$1,613,000 principal, 5.35%, due 9/01/2040
|
1,810,838 | ||||
AT&T INC
|
$600,000 principal, 6.4%, due 5/15/2038
|
739,878 | ||||
AT&T INC
|
$700,000 principal, 6.5%, due 9/01/2037
|
870,003 | ||||
AT&T INC
|
$125,000 principal, 6.55%, due 2/15/2039
|
158,712 | ||||
BAC CAP TR XI
|
$800,000 principal, 6.625%, due 5/23/2036
|
700,630 | ||||
BANCO BRASIL 144A
|
$100,000 principal, 6%, due 1/22/2020
|
109,000 | ||||
BANCO NACIONAL 144A
|
$100,000 principal, 5.5%, due 7/12/2020
|
108,500 | ||||
BANCO SANTAND 144A
|
$2,200,000 principal, 4.5%, due 4/6/2015
|
2,134,000 | ||||
BANCO SANTD FRN
|
$1,500,000 principal, 2.162%, due 1/19/2016
|
1,380,000 | ||||
BANCO VOTORANTIM 144B
|
$300,000 principal, 5.25%, due 2/11/2016
|
301,800 | ||||
BANK AMER GMTN
|
$17,090,000 principal, 7.375%, due 5/15/2014
|
17,721,834 | ||||
BANK AMER NA
|
$1,040,000 principal, 5.3%, due 3/15/2017
|
938,194 | ||||
BANK AMER NA
|
$40,000 principal, 6%, due 10/15/2036
|
33,219 | ||||
BANK AMERICA
|
$800,000 principal, 1.973%, due 1/30/2014
|
722,258 | ||||
BANK OF AMER MTN
|
$6,295,000 principal, 7.625%, due 6/1/2019
|
6,508,564 | ||||
BANK OF AMERICA
|
$650,000 principal, 5.625%, due 7/1/2020
|
600,230 | ||||
BANK ONE CAP III
|
$160,000 principal, 8.75%, due 9/1/2030
|
211,653 | ||||
BANKAMER CAP II
|
$650,000 principal, 8%, due 12/15/2026
|
585,000 | ||||
BARCLAYS 144A
|
$80,000 principal, 10.179%, due 6/12/2021
|
83,771 | ||||
BARCLAYS BANK
|
$8,525,000 principal, 2.375%, due 1/13/2014
|
8,344,875 | ||||
BARCLAYS MTN
|
$2,416,000 principal, 2.5%, due 1/23/2013
|
2,405,696 | ||||
BARCLAYS MTN
|
$2,550,000 principal, 5.125%, due 1/08/2020
|
2,618,557 | ||||
BARRICK GOLD
|
$10,000 principal, 5.8%, due 11/15/2034
|
11,189 | ||||
BARRICK PD AUST
|
$100,000 principal, 5.95%, due 10/15/2039
|
115,551 | ||||
BERKSHIRE HAT FIN
|
$5,000,000 principal, 1.5%, due 1/10/2014
|
5,056,105 | ||||
BG ENERGY 144A
|
$500,000 principal, 5.125%, due 10/15/2041
|
539,995 | ||||
BHP BILLITON FIN
|
$8,351,000 principal, 5.5%, due 4/01/2014
|
9,180,463 | ||||
BM&F BOVESP MTN 144A
|
$100,000 principal, 5.5%, due 7/16/2020
|
102,500 | ||||
BNSF RAILWAY CO
|
$962,625 principal, 5.996%, due 4/1/2024
|
1,119,465 | ||||
BOSTON PPTY
|
$1,255,000 principal, 5.625%, due 4/15/2015
|
1,384,700 | ||||
BOSTON PPTY
|
$407,000 principal, 6.25%, due 1/15/2013
|
423,009 | ||||
BOSTON PPTY LTD
|
$870,000 principal, 5%, due 6/01/2015
|
942,333 | ||||
BOSTON PPTY MTN
|
$1,900,000 principal, 4.125%, due 5/15/2021
|
1,911,231 | ||||
BOSTON PT MTN
|
$200,000 principal, 5.875%, due 10/15/2019
|
225,161 | ||||
BOSTON SCIENTIFIC
|
$250,000 principal, 6%, due 1/15/2020
|
278,995 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
BOSTON SCIENTIFIC
|
$400,000 principal, 7.375%, due 1/15/2040
|
$ | 508,123 | |||
BOSTON SCIENTIFIC
|
$525,000 principal, 5.45%, due 6/15/2014
|
561,124 | ||||
BOSTON SCIENTIFIC
|
$4,355,000 principal, 6.25%, due 11/15/2015
|
4,828,449 | ||||
BOSTON SCIENTIFIC
|
$1,225,000 principal, 6.4%, due 6/15/2016
|
1,373,694 | ||||
BRFKREDIT AS FRN 144A
|
$600,000 principal, 0.817%, due 4/15/2013
|
600,092 | ||||
BURLINGTON 00-1
|
$73,621 principal, 8.251%, due 1/15/2021
|
89,096 | ||||
BURLINGTON NO 99-2
|
$263,354 principal, 7.57%, due 1/2/2021
|
329,881 | ||||
BURLINGTON NOR
|
$1,500,000 principal, 5.05%, due 3/01/2041
|
1,660,004 | ||||
BURLINGTON NOR MTN
|
$1,965,000 principal, 4.7%, due 10/1/2019
|
2,204,551 | ||||
BURLINGTON NORTH
|
$200,000 principal, 4.3%, due 7/01/2013
|
209,136 | ||||
BURLINGTON NORTH SAN
|
$1,400,000 principal, 4.1%, due 6/1/2021
|
1,510,137 | ||||
BURLINGTON NORTH SAN
|
$5,571,000 principal, 7%, due 2/1/2014
|
6,242,551 | ||||
BURLINGTON/SANTA
|
$2,375,000 principal, 4.875%, due 1/15/2015
|
2,588,489 | ||||
CAMERON INTL
|
$300,000 principal, 5.95%, due 6/1/2041
|
344,817 | ||||
CAN NATURL RES GLB
|
$900,000 principal, 6.25%, due 3/15/2038
|
1,136,444 | ||||
CANADA NAT RES
|
$200,000 principal, 6.75%, due 2/01/2039
|
268,974 | ||||
CAPITAL ONE FIN
|
$2,090,000 principal, 3.15%, due 7/15/2016
|
2,099,384 | ||||
CAPITAL ONE FIN
|
$600,000 principal, 4.75%, due 7/15/2021
|
617,232 | ||||
CAPITAL ONE FIN
|
$3,695,000 principal, 6.75%, due 9/15/2017
|
4,141,301 | ||||
CAPITAL ONE FIN
|
$7,815,000 principal, 7.375%, due 5/23/2014
|
8,587,380 | ||||
CATERPILLAR
|
$3,100,000 principal, 1.375%, due 5/27/2014
|
3,136,831 | ||||
CATERPILLAR FIN MTN
|
$5,000,000 principal, 1.375%, due 5/20/2014
|
5,063,185 | ||||
CENOVUS ENERGY
|
$100,000 principal, 6.75%, due 11/15/2039
|
132,093 | ||||
CENTERPOINT ENG
|
$300,000 principal, 5.85%, due 1/15/2041
|
345,070 | ||||
CHUBB CORP
|
$100,000 principal, 6.5%, due 5/15/2038
|
128,353 | ||||
CIGNA
|
$8,400,000 principal, 2.75%, due 11/15/2016
|
8,383,486 | ||||
CIGNA
|
$425,000 principal, 8.5%, due 5/01/2019
|
532,215 | ||||
CIGNA CORP
|
$1,475,000 principal, 6.15%, due 11/15/2036
|
1,579,535 | ||||
CIGNA MTN
|
$1,885,000 principal, 5.125%, due 6/15/2020
|
2,031,777 | ||||
CIT 144A
|
$200,000 principal, 5.25%, due 4/01/2014
|
199,250 | ||||
CITIGROUP
|
$300,000 principal, 2.027%, due 1/13/2014
|
291,739 | ||||
CITIGROUP
|
$1,475,000 principal, 2.203%, due 5/15/2018
|
1,268,264 | ||||
CITIGROUP
|
$1,600,000 principal, 4.587%, due 12/15/2015
|
1,610,523 | ||||
CITIGROUP
|
$13,775,000 principal, 4.75%, due 5/19/2015
|
13,952,904 | ||||
CITIGROUP
|
$10,000,000 principal, 5.5%, due 4/11/2013
|
10,210,230 | ||||
CITIGROUP
|
$400,000 principal, 5.875%, due 5/29/2037
|
398,822 | ||||
CITIGROUP
|
$3,350,000 principal, 6.125%, due 11/21/2017
|
3,576,105 | ||||
CITIGROUP
|
$200,000 principal, 6.875%, due 3/05/2038
|
219,361 | ||||
CITIGROUP MTN
|
$1,275,000 principal, 6.01%, due 1/15/2015
|
1,332,182 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
CITIGROUP MTN
|
$1,700,000 principal, 8.125%, due 7/15/2039
|
$ | 2,078,029 | |||
CITIGROUP MTN
|
$300,000 principal, 8.5%, due 5/22/2019
|
353,027 | ||||
CLECO PWR LLC
|
$100,000 principal, 6%, due 12/1/2040
|
121,760 | ||||
COMCAST
|
$6,000,000 principal, 5.85%, due 11/15/2015
|
6,827,568 | ||||
COMCAST CORP
|
$675,000 principal, 5.9%, due 3/15/2016
|
772,745 | ||||
COMCAST CORP
|
$300,000 principal, 6.3%, due 11/15/2017
|
354,928 | ||||
COMCAST CORP
|
$100,000 principal, 6.55%, due 7/1/2039
|
123,076 | ||||
COMCAST CORP
|
$30,000 principal, 6.95%, due 8/15/2037
|
38,103 | ||||
COMCAST GLB
|
$2,125,000 principal, 5.875%, due 2/15/2018
|
2,456,426 | ||||
COMCAST MTN
|
$1,200,000 principal, 6.4%, due 3/01/2040
|
1,488,869 | ||||
COMET 2006-A5 A5
|
$10,000,000 principal, 0.302%, due 1/15/2016
|
9,981,298 | ||||
COMNI 2009-A8
|
$6,700,000 principal, 2.342%, due 5/16/2016
|
6,741,150 | ||||
COMWLTH EDISON
|
$2,000,000 principal, 1.625%, due 1/15/2014
|
2,014,708 | ||||
CONOCOPHILLIPS MTN
|
$6,000,000 principal, 4.6%, due 1/15/2015
|
6,636,912 | ||||
CONSOLIDAT EDISON
|
$200,000 principal, 6.75%, due 4/1/2038
|
279,529 | ||||
COVIDIEN INT
|
$500,000 principal, 6%, due 10/15/2017
|
592,648 | ||||
COX COM 144A
|
$1,000,000 principal, 9.375%, due 1/15/2019
|
1,352,317 | ||||
COX COMMUN
|
$4,650,000 principal, 5.45%, due 12/15/2014
|
5,162,332 | ||||
COX COMMUN
|
$4,205,000 principal, 5.5%, due 10/01/2015
|
4,732,412 | ||||
COX COMMUN 144A
|
$2,525,000 principal, 5.875%, due 12/1/2016
|
2,915,895 | ||||
COX COMMUN 144A
|
$1,200,000 principal, 6.45%, due 12/1/2036
|
1,289,272 | ||||
CREDIT SUISSE MTN
|
$9,095,000 principal, 5.5%, due 5/1/2014
|
9,454,562 | ||||
CREDIT SUISSE NY
|
$2,500,000 principal, 2.2%, due 1/14/2014
|
2,472,710 | ||||
CROWN CSTL MTN 144A
|
$735,000 principal, 6.113%, due 1/15/2020
|
810,693 | ||||
CSN RESOURCES SA 144A
|
$200,000 principal, 6.5%, due 7/21/2020
|
209,000 | ||||
CSX CORP
|
$230,000 principal, 6.15%, due 5/1/2037
|
276,088 | ||||
CSX CORP MTN
|
$500,000 principal, 5.5%, due 4/15/2041
|
565,220 | ||||
CSX TRANSN
|
$660,303 principal, 8.375%, due 10/15/2014
|
751,847 | ||||
CVS CAREM 144A
|
$192,790 principal,7.507, due 1/1/2032
|
222,985 | ||||
CVS PASS THRU 144A
|
$400,000 principal, 5.926%, due 1/10/2034
|
412,780 | ||||
DCENT 2007-A2
|
$10,000,000 principal, 0.814%, due 6/15/2015
|
10,027,589 | ||||
DCENT 2009-A2
|
$5,000,000 principal, 1.542%, due 2/17/2015
|
5,038,070 | ||||
DEUTSCHE TEL GLB
|
$1,000,000 principal, 8.75%, due 6/15/2030
|
1,393,000 | ||||
DEXIA CR 144A
|
$800,000 principal, 0.644%, due 1/12/2012
|
799,875 | ||||
DISCOVERY COMML
|
$400,000 principal, 4.375%, due 6/15/2021
|
422,073 | ||||
DOW CHEMICAL
|
$650,000 principal, 7.375 %, due 11/01/2029
|
823,766 | ||||
DOW CHEMICAL
|
$2,516,000 principal, 8.55%, due 5/15/2019
|
3,290,805 | ||||
DOW CHEMICAL
|
$1,250,000 principal, 9.4%, due 5/15/2039
|
1,875,813 | ||||
DOW CHEMICAL COMPANY
|
$775,000 principal, 5.7%, due 5/15/2018
|
863,156 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
DOW CHEMICAL MTN
|
$5,778,000 principal, 5.9%, due 2/15/2015
|
$ | 6,430,226 | |||
DUKE ENERGY CAR
|
$100,000 principal, 6.05%, due 4/15/2038
|
130,662 | ||||
EDF SA 144A
|
$100,000 principal, 6.95%, due 1/26/2039
|
117,489 | ||||
ENBRIDGE ENERGY
|
$100,000 principal, 7.5%, due 4/15/2038
|
132,269 | ||||
ENCANA CORP
|
$1,000,000 principal, 5.15%, due 11/15/2041
|
1,018,847 | ||||
ENCANA CORP
|
$200,000 principal, 6.5%, due 8/15/2034
|
233,235 | ||||
ENEL FIN INTL
|
$3,000,000 principal, 5.7%, due 1/15/2013
|
3,011,430 | ||||
ENERGY TRAN PTNR
|
$100,000 principal, 6.625%, due 10/15/2036
|
104,981 | ||||
ENERGY TRANSFER
|
$500,000 principal, 7.5%, due 7/01/2038
|
569,948 | ||||
ENTERPRISE PRODS
|
$10,000 principal, 5.75%, due 3/1/2035
|
10,613 | ||||
FED DEPT ST
|
$2,895,000 principal, 6.9%, due 4/01/2029
|
3,179,749 | ||||
FEDEX CORP
|
$3,050,000 principal, 7.375%, due 1/15/2014
|
3,408,134 | ||||
FIRSTENERGY GL
|
$210,000 principal, 7.375%, due 11/15/2031
|
257,873 | ||||
FLORIDA PWR & LT
|
$100,000 principal, 5.95%, due 2/1/2038
|
130,864 | ||||
FLORIDA PWR
|
$110,000 principal, 6.35%, due 9/15/2037
|
147,437 | ||||
FORD MTR CR
|
$1,700,000 principal, 8.7%, due 10/01/2014
|
1,895,500 | ||||
FORD MTR CR GLB
|
$100,000 principal, 7%, due 10/01/2013
|
106,500 | ||||
FORD MTR CR LLC
|
$4,875,000 principal, 5.625%, due 9/15/2015
|
4,972,500 | ||||
FORD MTR CR LLC
|
$2,500,000 principal, 5.75%, due 2/01/2021
|
2,550,000 | ||||
FORD MTR CR LLC
|
$400,000 principal, 7.8%, due 6/01/2012
|
412,000 | ||||
FORD MTR CREDIT CO LLC
|
$100,000 Principal, 8%, due 6/1/2014
|
108,859 | ||||
FRANCE TELECOM STEP
|
$200,000 principal, 8.5%, due 3/1/2031
|
284,777 | ||||
GAZ CAP SA LU 144A
|
$1,100,000 principal, 5.092%, due 11/29/2015
|
1,112,870 | ||||
GAZ CAP REGS
|
$100,000 principal, 6.51%, due 3/7/2022
|
101,500 | ||||
GAZ CAPITAL REGS
|
$300,000 principal, 8.625%, due 4/28/2034
|
351,750 | ||||
GAZ CAPITAL SA REGS
|
$100,000 principal, 9.25%, due 4/23/2019
|
118,890 | ||||
GE CAP CORP
|
$300,000 principal, 5.875%, due 1/14/2038
|
317,314 | ||||
GE CAP MTN
|
$6,400,000 principal, 3.5%, due 6/29/2015
|
6,711,789 | ||||
GE CAP MTN
|
$2,950,000 principal, 5.5%, due 1/08/2020
|
3,244,802 | ||||
GE CAP MTN S
|
$1,100,000 principal, 6.75%, due 3/15/2032
|
1,286,080 | ||||
GE ELEC CAP
|
$12,500,000 principal, 2.1%, due 1/07/2014
|
12,688,363 | ||||
GECAP
|
$100,000 principal, 6.15%, due 8/07/2037
|
109,199 | ||||
GECAP MTN
|
$875,000 principal, 5.9%, due 5/13/2014
|
958,365 | ||||
GECAP MTN
|
$100,000 principal, 6.875%, due 1/10/2039
|
119,594 | ||||
GEMNT 2011-1 A
|
$10,000,000 principal, 5.25%, due 10/15/2013
|
10,063,869 | ||||
GENERAL ELEC MTN 3.35
|
$5,040,000 principal, 3.35%, due 10/17/2016
|
5,249,810 | ||||
GEORGIA PAC 144A
|
$600,000 principal, 5.4%, due 11/1/2020
|
657,000 | ||||
GERDAU TRDE 144A
|
$1,600,000 principal, 5.75%, due 1/30/2021
|
1,586,000 | ||||
GMAC LLC
|
$200,000 principal, 6.75%, due 12/01/2014
|
201,000 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
GMAC LLC
|
$250,000 principal, 6.875%, due 8/28/2012
|
$ | 253,125 | |||
GOLDMAN SACH GLB
|
$10,000,000 principal, 5.25%, due 10/15/2013
|
10,204,720 | ||||
GOLDMAN SACHS
|
$310,000 principal, 6.125%, due 2/15/2033
|
299,932 | ||||
GOLDMAN SACHS FRN
|
$200,000 principal, 0.961%, due 7/22/2015
|
175,048 | ||||
GOLDMAN SACHS GLB
|
$1,500,000 principal, 7.5%, due 2/15/2019
|
1,656,153 | ||||
GOLDMAN SACHS MTN
|
$1,700,000 principal, 3.7%, due 8/1/2015
|
1,665,772 | ||||
GSINC
|
$300,000 principal, 1.080%, due 1/12/2015
|
265,946 | ||||
GSINC
|
$100,000 principal, 6.75%, due 10/01/2037
|
92,910 | ||||
GSINC FRN
|
$1,000,000 principal, 1.176%, due 9/29/2014
|
907,785 | ||||
HBOS PLC 144A
|
$250,000 principal, 6%, due 11/1/2033
|
152,752 | ||||
HBOS PLC 144A
|
$200,000 principal, 6.75%, due 5/21/2018
|
160,319 | ||||
HCA INC
|
$680,000 principal, 6.3%, due 10/01/2012
|
691,900 | ||||
HCP INC
|
$500,000 principal, 6.75%, due 2/1/2041
|
564,260 | ||||
HEALTHNET
|
$1,025,000 principal, 6.375%, due 6/1/2017
|
1,066,000 | ||||
HEINZ HJ FIN 144A
|
$200,000 principal, 7.125%, due 8/1/2039
|
275,416 | ||||
* |
HEWLETT-PACKARD CO
|
$1,325,000 principal, 3.3%, due 12/09/2016
|
1,353,269 | |||
* |
HEWLETT-PACKARD CO
|
$3,300,000 principal, 6.125%, due 3/1/2014
|
3,558,595 | |||
* |
HEWLETT-PACKARD CO
|
$3,600,000 principal, 2.65%, due 6/1/2016
|
3,572,827 | |||
HOUSEHOLD GLBL
|
$5,150,000 principal, 4.75%, due 7/15/2013
|
5,259,504 | ||||
HSBC BANK USA
|
$30,000 principal, 5.875%, due 11/1/2034
|
28,896 | ||||
HSBC BK USA
|
$3,647,000 principal, 4.625%, due 4/1/2014
|
3,726,866 | ||||
HSBC BNK PLC MTN 144A
|
$2,337,000 principal, 3.5%, due 6/28/2015
|
2,356,252 | ||||
HSBC HLDGS
|
$1,950,000 principal, 6.5%, due 5/02/2036
|
1,967,170 | ||||
HSBC HLDGS
|
$850,000 principal, 6.5%, due 9/15/2037
|
837,684 | ||||
HSBC HLDGS PLC
|
$1,350,000 principal, 5.1%, due 4/05/2021
|
1,433,970 | ||||
HSBC HLDGS PLC
|
$200,000 principal, 6.85, due 6/01/2038
|
206,815 | ||||
ICICI BANK 144
|
$600,000 principal, 6.625%, due 10/3/2012
|
614,373 | ||||
ING BANK NV 144A
|
$900,000 principal, 1.875%, due 6/9/2014
|
862,012 | ||||
ING BK NV 144A
|
$6,650,000 principal, 3.9%, due 3/19/2014
|
7,016,581 | ||||
INTL LEASE FIN
|
$200,000 principal, 6.375%, due 3/25/2013
|
199,000 | ||||
JP MORGAN CH XVII
|
$925,000 principal, 5.85%, due 8/1/2035
|
930,282 | ||||
JPMC CAP XXII
|
$200,000 principal, 6.45%, due 2/02/2037
|
200,000 | ||||
JPMC CO
|
$1,400,000 principal, 4.4%, due 7/22/2020
|
1,429,196 | ||||
JPMC CO
|
$1,500,000 principal, 6.4%, due 5/15/2038
|
1,738,235 | ||||
JPMC CO MTN
|
$10,000,000 principal, 2.05%, due 1/24/2014
|
10,008,570 | ||||
JPMC CO MTN
|
$100,000 principal, 6.3%, due 4/23/2019
|
113,230 | ||||
JPMORGAN CHASE & CO
|
$7,955,000 principal, 3.45%, due 3/1/2016
|
8,083,457 | ||||
JPMORGAN CHASE
|
$1,550,000 principal, 4.95%, due 3/25/2020
|
1,646,889 | ||||
JPMORGAN CHASE
|
$200,000 principal, 5.4%, due 1/06/2042
|
208,308 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
KAUPTHING MTN 144A
|
$1,125,000 principal, 7.125%, due 5/19/2016
|
$ | 5,738 | |||
KINDER MORGAN
|
$200,000 principal, 5.8%, due 3/15/2035
|
205,746 | ||||
KOREA NATL HSG
|
$2,575,000 principal, 4.875%, due 9/10/2014
|
2,696,697 | ||||
KRAFT FOODS
|
$1,295,000 principal, 6.5%, due 2/9/2040
|
1,681,512 | ||||
KRAFT FOODS INC
|
$500,000 principal, 7%, due 8/11/2037
|
666,790 | ||||
LAFARGE SA 144A
|
$9,350,000 principal, 5.5%, due 7/09/2015
|
9,516,785 | ||||
LAFARGE SA
|
$1,470,000 principal, 6.5%, due 7/15/2016
|
1,499,704 | ||||
LEH
|
$100,000 principal, 7.5%, due 5/11/2038
|
10 | ||||
LENNAR CORP
|
$1,300,000 principal, 5.6%, due 5/31/2015
|
1,287,000 | ||||
LIBERTY MEDIA
|
$90,000 principal, 8.25%, due 2/01/2030
|
86,513 | ||||
LIBERTY MEDIA
|
$260,000 principal, 8.5%, due 7/15/2029
|
252,200 | ||||
LIBERTY MUT 144A
|
$400,000 principal, 7.25%, due 9/1/2012
|
412,318 | ||||
LLOYDS TSB MTN12/VAR 144A
|
$100,000 principal, 12%, due 12/31/2049
|
91,596 | ||||
MACYS RETAIL HL
|
$275,000 principal, 8.375%, due 7/15/2029
|
317,554 | ||||
MAJAPAHIT HLDG REGS
|
$1,000,000 principal, 7.75%, due 1/20/2020
|
1,161,250 | ||||
MAY DEPT
|
$100,000 principal, 6.7%, due 7/15/2034
|
110,204 | ||||
MAY DEPT STORES
|
$1,461,000 principal, 6.7%, due 9/15/2028
|
1,524,194 | ||||
MAY DEPT STORES
|
$100,000 principal, 6.9%, due 1/15/2032
|
108,847 | ||||
MAY DEPT STR GLBL
|
$675,000 principal, 6.65%, due 7/15/2024
|
752,528 | ||||
MBNAS 2006-A5
|
$5,736,000 principal, 0.3213%, due 10/15/2015
|
5,732,163 | ||||
MERRILL LYN CO
|
$800,000 principal, 5.45%, due 2/05/2013
|
805,883 | ||||
MERRILL LYN CO
|
$8,250,000 principal, 6.15%, due 4/25/2013
|
8,328,128 | ||||
MERRILL LYNCH
|
$3,000,000 principal, 6.875%, due 11/15/2018
|
2,891,445 | ||||
MET LIFE GLBL MTN 144A
|
$12,500,000 principal, 2%, due 1/10/2014
|
12,575,750 | ||||
METLIFE INC
|
$900,000 principal, 6.375%, due 6/15/2034
|
1,062,123 | ||||
MORGAN STANLEY
|
$5,000,000 principal, 5.3 %, due 3/01/2013
|
5,061,650 | ||||
MORGAN STANLEY
|
$500,000 principal, 7.3%, due 5/13/2019
|
509,081 | ||||
MORGAN STANLEY GLB
|
$1,500,000 principal, 6%, due 4/28/2015
|
1,502,834 | ||||
MORGAN STANLEY GLB
|
$100,000 principal, 6.625%, due 4/1/2018
|
98,719 | ||||
MSTDW
|
$700,000 principal, 7.25%, due 4/01/2032
|
712,814 | ||||
NBCUNIVERSAL MED
|
$400,000 principal, 5.95%, due 4/1/2041
|
469,253 | ||||
NBCUNIVERSAL MED
|
$200,000 principal, 6.4%, due 4/30/2040
|
245,417 | ||||
NEWMONT MINING
|
$500,000 principal, 6.25%, due 10/1/2039
|
590,910 | ||||
NEWS AMER INC
|
$1,375,000 principal, 6.65%, due 11/15/2037
|
1,555,140 | ||||
NGPL PIPECO 144A
|
$1,000,000 principal, 7.768%, due 12/15/2037
|
906,725 | ||||
NOKIA CORP
|
$100,000 principal, 6.625%, due 5/15/2039
|
95,716 | ||||
NORDEA BK AG 144A
|
$4,000,000 principal, 2.125%, due 1/14/2014
|
3,923,364 | ||||
NORDEA BK FRN 144A
|
$1,100,000 principal, 1.467%, due 1/14/2014
|
1,074,753 | ||||
NORDSTROM
|
$500,000 principal, 6.95%, due 3/15/2028
|
624,764 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
NORDSTROM GLB
|
$800,000 principal, 6.25%, due 1/15/2018
|
$ | 945,931 | |||
NORDSTROM MTN
|
$1,941,000 principal, 6.75%, due 6/1/2014
|
2,176,901 | ||||
NORFOLK SOUTHERN
|
$475,000 principal, 7.7%, due 5/15/2017
|
609,727 | ||||
NORFOLKS MTN
|
$175,000 principal, 5.9%, due 6/15/2019
|
212,574 | ||||
NWSTRN MUT 144A
|
$100,000 principal, 6.063%, due 3/30/2040
|
119,814 | ||||
OMX TIMBER VAR 144A
|
$1,000,000 principal, 5.42%, due 1/29/2020
|
1,041,700 | ||||
ONEOK PARTNERS
|
$100,000 principal, 6.85%, due 10/15/2037
|
121,207 | ||||
ONTARIO PROVINCE
|
$200,000 principal, 4.4%, due 4/14/2020
|
227,800 | ||||
PACIFIC GAS & ELE
|
$500,000 principal, 6.25%, due 3/1/2039
|
643,169 | ||||
PACIFIC LIF INS 144A
|
$1,100,000 principal, 9.25%, due 6/15/2039
|
1,462,575 | ||||
PETROBRAS INTL
|
$200,000 principal, 6.875%, due 1/20/2040
|
228,000 | ||||
PETROLEOS MEXICANOS
|
$100,000 principal, 8%, due 5/3/2039
|
124,750 | ||||
PETROLEOS MX 144A
|
$1,000,000 principal, 6.5%, due 6/2/2041
|
1,120,000 | ||||
PFIZER
|
$600,000 principal, 7.2%, due 3/15/2039
|
884,105 | ||||
PG&E
|
$310,000 principal, 6.05%, due 3/01/2034
|
383,072 | ||||
PHILIP MOR INT
|
$100,000 principal, 6.375%, due 5/16/2038
|
130,126 | ||||
PHILIPS ELECT
|
$1,420,000 principal, 4.625%, due 3/11/2013
|
1,482,371 | ||||
POTASH CORP
|
$200,000 principal, 5.625%, due 12/1/2040
|
243,717 | ||||
PPG INDUSTRS
|
$200,000 principal, 5.5%, due 11/15/2040
|
231,166 | ||||
PRIDE INTL
|
$700,000 principal, 7.875%, due 8/15/2040
|
910,295 | ||||
PRIVATE EXPORT
|
$800,000 principal, 4.3%, due 12/15/2021
|
927,487 | ||||
PROGRESS ENERGY
|
$100,000 principal, 7.75%, due 3/01/2031
|
141,796 | ||||
PROVIDENT COMPA
|
$471,000 principal, 7.25%, due 3/15/2028
|
502,233 | ||||
PROVIDENT COS
|
$300,000 principal, 7%, due 7/15/2018
|
326,149 | ||||
PRUDENTIAL FINAN
|
$200,000 principal, 6.2%, due 11/15/2040
|
208,909 | ||||
PUGET ENERGY IN
|
$300,000 principal, 6%, due 9/01/2021
|
310,416 | ||||
RABOBANK NL UTREC MTN
|
$10,000,000 principal, 1.85%, due 1/10/2014
|
9,949,500 | ||||
RABOBANK NLD MTN
|
$800,000 principal, 5.25%, due 5/24/2041
|
782,718 | ||||
RAYTHEON
|
$1,750,000 principal, 1.625%, due 10/15/2015
|
1,762,309 | ||||
RBS PLC
|
$3,425,000 principal, 4.375%, due 3/16/2016
|
3,268,039 | ||||
RBS PLC
|
$2,150,000 principal, 6.125%, due 1/11/2021
|
2,120,313 | ||||
RCI BANQUE SA 144A
|
$2,000,000 principal, 3.4%, due 4/11/2014
|
1,950,966 | ||||
REED ELSEVIER
|
$5,520,000 principal, 7.75%, due 1/15/2014
|
6,159,360 | ||||
REED ELSEVIER C
|
$1,850,000 principal, 8.625%, due 1/15/2019
|
2,308,325 | ||||
REPUBLIC NY
|
$550,000 principal, 9.5%, due 4/15/2014
|
605,427 | ||||
ROCKIES EXP 144A
|
$900,000 principal, 6.875%, due 4/15/2040
|
826,653 | ||||
ROYAL BK OF SCOT
|
$6,310,000 principal, 3.25%, due 1/11/2014
|
6,047,037 | ||||
ROYAL BK OF SCOT MTN
|
$550,000 principal, 5.625%, due 8/24/2020
|
527,342 | ||||
ROYAL BK OF SCTLD
|
$200,000 principal, 1.461%, due 4/23/2012
|
200,291 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
ROYAL BK SCT 144A
|
$400,000 principal, 0.751%, due 3/30/2012
|
$ | 399,933 | |||
SBAP 2004-20L 1
|
$64,304 principal, 4.87%, due 12/1/2024
|
71,224 | ||||
SBAP 2005-20A 1
|
$33,312 principal, 4.86%, due 1/1/2025
|
36,535 | ||||
SBAP 2005-20E 1
|
$27,458 principal, 4.84%, due 5/1/2025
|
30,161 | ||||
SBAP 2006-20J 1
|
$625,124 principal, 5.37%, due 10/1/2026
|
698,585 | ||||
SBAP 2006-20L 1
|
$654,070 principal, 5.12%, due 12/1/2026
|
727,621 | ||||
SHELL INTL FIN
|
$6,800,000 principal, 3.1%, due 6/28/2015
|
7,291,762 | ||||
SHELL INTL FIN
|
$100,000 principal, 5.5%, due 3/25/2040
|
124,700 | ||||
SLM CORP MTN
|
$1,000,000 principal, 8%, due 3/25/2020
|
1,010,000 | ||||
SLM MEDIUM
|
$2,000,000 principal, 8.45%, due 6/15/2018
|
2,060,000 | ||||
SLM MTN
|
$300,000 principal, 5.625%, due 8/01/2033
|
223,460 | ||||
SLMA 2006-3 A4 3ML+8
|
$675,182 principal, 0.640%, due 7/25/2019
|
668,917 | ||||
SLMA 2007-2 A2 3ML
|
$936,066 principal, 0.560%, due 7/25/2017
|
928,225 | ||||
SLMA 2008-5 A2
|
$13,989,123 principal, 1.66%, due 10/25/2016
|
14,098,975 | ||||
SLMA 2008-9 A
|
$226,268 principal, 2.060%, due 4/25/2023
|
231,474 | ||||
SOUTHERN CAL ED
|
$100,000 principal, 5.55%, due 1/15/2037
|
122,972 | ||||
SOUTHERN CAL ED
|
$130,000 principal, 5.625%, due 2/1/2036
|
160,675 | ||||
SPRINT CAP CRP
|
$200,000 principal, 6.875%, due 11/15/2028
|
143,240 | ||||
SPRINT CAP GLBL
|
$250,000 principal, 6.9%, due 5/01/2019
|
205,625 | ||||
SPRINT NEXTEL
|
$2,125,000 principal, 6%, due 12/01/2016
|
1,763,750 | ||||
SSIF NV LP 144A
|
$1,800,000 principal, 1.267%, due 4/14/2014
|
1,771,454 | ||||
ST PAUL COS
|
$1,310,000 principal, 6.25%, due 6/20/2016
|
1,526,796 | ||||
ST PAUL TRAVELERS
|
$3,785,000 principal, 5.5%, due 12/01/2015
|
4,246,766 | ||||
STATOIL ASA
|
$400,000 principal, 4.25%, due 11/23/2041
|
416,831 | ||||
STONE STRT TR 144A
|
$1,500,000 principal, 5.902%, due 12/15/2015
|
1,378,095 | ||||
SUMITOMO BK 144A
|
$10,000,000 principal, 1.95%, due 1/14/2014
|
10,118,200 | ||||
TARGET CORP GLB
|
$100,000 principal, 7%, due 1/15/2038
|
139,527 | ||||
TEACHERS INS
|
$100,000 principal, 6.85%, due 12/16/2039
|
128,105 | ||||
TELECOM ITALI
|
$850,000 principal, 6.999%, due 6/4/2018
|
794,463 | ||||
TELECOM ITALIA
|
$825,000 principal, 5.25%, due 11/15/2013
|
792,592 | ||||
TELECOM ITALIA CAP
|
$1,575,000 principal, 7.175%, due 6/18/2019
|
1,475,531 | ||||
TENN VLY AUTH
|
$100,000 principal, 4.625%, due 9/15/2060
|
119,071 | ||||
TIME WARNER
|
$9,700,000 principal, 3.15%, due 7/15/2015
|
10,090,842 | ||||
TIME WARNER
|
$100,000 principal, 6.2%, due 3/15/2040
|
117,570 | ||||
TIME WARNER CAB
|
$600,000 principal, 5.875%, due 11/15/2040
|
648,143 | ||||
TIME WARNER CAB
|
$825,000 principal, 8.75%, due 2/14/2019
|
1,053,174 | ||||
TIME WARNER CBL
|
$200,000 principal, 6.55%, due 5/1/2037
|
227,097 | ||||
TIME WARNER MTN
|
$7,950,000 principal, 7.5%, due 4/1/2014
|
8,902,187 | ||||
TIME WARNER MTN
|
$2,775,000 principal, 8.25%, due 4/1/2019
|
3,484,443 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
TIME WARNER
|
$900,000 principal, 5.375%, due 10/15/2041
|
$ | 972,928 | |||
TIME WARNER
|
$900,000 principal, 6.1%, due 7/15/2040
|
1,053,106 | ||||
TIME WARNER
|
$100,000 principal, 6.25%, due 3/29/2041
|
119,667 | ||||
TRANSCANADA PIPE
|
$100,000 principal, 7.625%, due 1/15/2039
|
143,964 | ||||
TRANS-CANADA PL GLB
|
$200,000 principal, 7.25%, due 8/15/2038
|
275,947 | ||||
TRANSNEFT REGS
|
$200,000 principal, 7.7%, due 8/07/2013
|
215,536 | ||||
TRANSOCEAN
|
$800,000 principal, 6.8%, due 3/15/2038
|
805,071 | ||||
TRAVELERS COS
|
$1,000,000 principal, 3.9%, due 11/01/2020
|
1,064,661 | ||||
TRAVELERS MTN
|
$150,000 principal, 5.75%, due 12/15/2017
|
175,131 | ||||
TRAVELERS PPTY
|
$1,800,000 principal, 5%, due 3/15/2013
|
1,877,882 | ||||
UBS AG STAM NT
|
$100,000 principal, 5.75%, due 4/25/2018
|
103,580 | ||||
UBS AG STAMFORD
|
$3,000,000 principal, 2.25%, due 1/28/2014
|
2,919,645 | ||||
UNION PAC
|
$2,149,331 principal, 6.176%, due 1/2/2031
|
2,657,998 | ||||
UNION PAC 6 TR
|
$568,652 principal, 5.866%, due 7/02/2030
|
659,516 | ||||
UNION PAC
|
$100,000 principal, 6.15%, due 5/1/2037
|
124,305 | ||||
UNION PACIFIC
|
$9,365,000 principal, 4.875%, due 1/15/2015
|
10,270,773 | ||||
UNION PACIFIC 99-A
|
$223,208 principal, 7.6%, due 1/2/2020
|
268,860 | ||||
UNION PACIFIC PTC
|
$744,249 principal, 4.698%, due 1/2/2024
|
829,266 | ||||
UNION PACIFIC PTC
|
$260,383 principal, 5.082%, due 1/2/2029
|
291,979 | ||||
UNITED MEXICAN
|
$800,000 principal, 5.125%, due 1/15/2020
|
916,000 | ||||
UNITEDHEALTH
|
$400,000 principal, 4.625%, due 11/15/2041
|
419,687 | ||||
UNUM CORP
|
$191,000 principal, 6.75%, due 12/15/2028
|
201,358 | ||||
UNUMPROVIDENT 144A
|
$125,000 principal, 6.85%, due 1/15/2015
|
138,150 | ||||
UPAC
|
$700,000 principal, 4.163%, due 7/15/2022
|
759,440 | ||||
USCOUP
|
$100,000 principal, 0.0%, due 5/15/2037
|
45,873 | ||||
VALE OVERSEAS
|
$200,000 principal, 6.875%, due 11/10/2039
|
228,685 | ||||
VERIZON COM 144A
|
$2,350,000 principal, 1.95%, due 3/28/2014
|
2,398,805 | ||||
VERIZON COM
|
$400,000 principal, 6.9%, due 4/15/2038
|
533,671 | ||||
VERIZON COM
|
$300,000 principal, 7.35%, due 4/1/2039
|
418,644 | ||||
VERIZON COMMUNC
|
$700,000 principal, 6%, due 4/01/2041
|
866,191 | ||||
VERIZON GLBL
|
$130,000 principal, 5.85%, due 9/15/2035
|
155,042 | ||||
VIRGINIA ELEC PWR CO
|
$240,000 principal, 6%, due 5/15/2037
|
305,809 | ||||
VODAFONE
|
$200,000 principal, 6.15%, due 2/27/2037
|
248,427 | ||||
VULCAN MATERIAL
|
$525,000 principal, 6.5%, due 12/01/2016
|
542,062 | ||||
VULCAN MATERIAL
|
$1,225,000 principal, 7.5%, due 6/15/2021
|
1,323,000 | ||||
WACHOVIA BK NA
|
$300,000 principal, 5.85%, due 2/1/2037
|
313,426 | ||||
WACHOVIA MTN
|
$550,000 principal, 5.75%, due 2/1/2018
|
624,650 | ||||
WALMART
|
$1,000,000 principal, 6.2%, due 4/15/2038
|
1,340,364 | ||||
WALMART
|
$400,000 principal, 6.5%, due 8/15/2037
|
551,564 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Corporate debt (continued)
|
||||||
WALMART STORES
|
$900,000 principal, 5.625%, due 4/15/2041
|
$ | 1,160,733 | |||
WELLPOINT GLB
|
$200,000 principal, 5.875%, due 6/15/2017
|
230,507 | ||||
WELLPOINT GLBL
|
$4,150,000 principal, 5%, due 12/15/2014
|
4,534,867 | ||||
WELLPOINT GLBL
|
$4,800,000 principal, 5.25%, due 1/15/2016
|
5,374,872 | ||||
WELLPOINT INC
|
$900,000 principal, 6%, due 2/15/2014
|
981,122 | ||||
WELLPOINT INC
|
$1,835,000 principal, 7%, due 2/15/2019
|
2,213,423 | ||||
WELLS FARGO MTN
|
$6,000,000 principal, 3.625%, due 4/15/2015
|
6,282,042 | ||||
WELLS FARGO&COM
|
$1,000,000 principal, 3.676%, due 6/15/2016
|
1,045,212 | ||||
WESTFIELD 144A
|
$5,000,000 principal, 5.125%, due 11/15/2014
|
5,239,260 | ||||
WEYERHAEUSER
|
$1,100,000 principal, 7.375%, due 3/15/2032
|
1,152,996 | ||||
WHITE NGT(GAZ) REGS
|
$100,000 principal, 10.5%, due 3/25/2014
|
112,000 | ||||
WILLIAMS COS
|
$124,000 principal, 8.75%, due 3/15/2032
|
162,244 | ||||
WILLIAMS COS GLB
|
$495,000 principal, 7.5%, due 1/15/2031
|
602,441 | ||||
WILLIAMS PARTNER
|
$500,000 principal, 6.3%, due 4/15/2040
|
608,499 | ||||
WOODSIDE FIN144A
|
$3,250,000 principal, 4.5%, due 11/10/2014
|
3,422,412 | ||||
WYETH
|
$5,375,000 principal, 5.5%, due 2/01/2014
|
5,892,983 | ||||
WYETH
|
$100,000 principal, 5.95%, due 4/01/2037
|
127,857 | ||||
WYETH
|
$500,000 principal, 6.5%, due 2/01/2034
|
675,221 | ||||
XEROX CORP
|
$650,000 principal, 6.35%, due 5/15/2018
|
732,005 | ||||
XEROX CORP
|
$2,875,000 principal, 6.4%, due 3/15/2016
|
3,217,539 | ||||
XEROX CORP
|
$875,000 principal, 6.75%, due 2/01/2017
|
1,002,517 | ||||
XEROX MTN
|
$8,125,000 principal, 8.25%, due 5/15/2014
|
9,169,095 | ||||
753,362,249 | ||||||
U.S. Government securities
|
||||||
CGCMT 2007-FL3A A1
|
$231,335 principal, 0.355%, due 4/15/2022
|
227,646 | ||||
CWALT 2005-81 A1
|
$58,722 principal, 0.524%, due 2/25/2037
|
28,605 | ||||
DBUBS 2011-LC2A A1FL CMBS
|
$864,757 principal, 1.605%, due 7/10/2044
|
860,990 | ||||
ESA 10-ESHA A 144E
|
$97,997 principal, 2.951%, due 8/10/2035
|
98,168 | ||||
FB 2005-1 A3
|
$400,000 principal, 5.278%, due 8/10/2035
|
443,186 | ||||
FFCB
|
$25,000,000 principal, 1.125%, due 2/27/2014
|
25,350,450 | ||||
FFCB
|
$600,000 principal, 5.160%, due 3/14/2022
|
742,829 | ||||
FHLB 00-0606 Y
|
$271,593 principal, 5.270%, due 12/28/2012
|
281,201 | ||||
FHLB SK-2015 1
|
$670,058 principal, 5.14%, due 8/18/2015
|
721,587 | ||||
FHLG #E01444
|
$668,566 principal, 3.5%, due 8/1/2018
|
702,842 | ||||
FHLG #E01401
|
$393,866 principal, 4%, due 6/1/2018
|
414,298 | ||||
FHLG #E01418
|
$423,439 principal, 4%, due 7/1/2018
|
445,649 | ||||
FHLG #E01606
|
$597,835 principal, 4.5%, due 4/1/2019
|
638,166 | ||||
FHLG #G11896
|
$1,943,539 principal, 4.5%, due 1/1/2021
|
2,066,697 | ||||
FHLG #G12471
|
$3,426,028 principal, 4.5%, due 12/1/2018
|
3,635,098 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FHLG #B13067
|
$905,520 principal, 4.5%, due 3/1/2019
|
$ | 966,191 | |||
FHLG #E02684
|
$2,693,876 principal, 4.5%, due 3/1/2025
|
2,861,214 | ||||
FHLG #E97055
|
$891,293 principal, 4.5%, due 6/1/2018
|
946,624 | ||||
FHLG #G12250
|
$998,924 principal, 4.5%, due 6/1/2021
|
1,060,975 | ||||
FHLG #G12379
|
$758,981 principal, 4.5%, due 6/1/2021
|
806,128 | ||||
FHLG #G13272
|
$924,888 principal, 4.5%, due 8/1/2020
|
986,196 | ||||
FHLG #G12446
|
$1,043,435 principal, 4.5%, due 9/1/2020
|
1,107,599 | ||||
FHLG #P60959
|
$6,975,042 principal, 4.5%, due 9/1/2020
|
7,440,195 | ||||
FHLG #G13318
|
$1,703,978 principal, 5%, due 10/1/2020
|
1,830,383 | ||||
FHLG #G12870
|
$208,418 principal, 5%, due 12/1/2021
|
224,139 | ||||
FHLG #G11683
|
$243,415 principal, 5%, due 2/1/2020
|
261,472 | ||||
FHLG #E95004
|
$2,530,986 principal, 5%, due 3/1/2018
|
2,709,248 | ||||
FHLG #G11987
|
$1,209,019 principal, 5%, due 4/1/2021
|
1,300,217 | ||||
FHLG #G18251
|
$503,645 principal, 5%, due 5/1/2023
|
539,748 | ||||
FHLG #B15068
|
$919,539 principal, 5%, due 6/1/2019
|
993,462 | ||||
FHLG #G13533
|
$538,194 principal, 5%, due 7/1/2018
|
577,289 | ||||
FHLG #J08220
|
$4,174,715 principal, 5%, due 7/1/2023
|
4,473,967 | ||||
FHLG #G18009
|
$988,120 principal, 5%, due 9/1/2019
|
1,061,420 | ||||
FHLG #G12593
|
$382,318 principal, 5%, due 9/1/2021
|
411,157 | ||||
FHLG #G13493
|
$3,408,643 principal, 5.5%, due 1/1/2024
|
3,690,122 | ||||
FHLG #G12454
|
$476,587 principal, 5.5%, due 11/1/2021
|
515,793 | ||||
FHLG #G12717
|
$831,164 principal, 5.5%, due 11/1/2021
|
899,280 | ||||
FHLG #G11805
|
$658,245 principal, 5.5%, due 12/1/2019
|
710,564 | ||||
FHLG #G13774
|
$161,635 principal, 5.5%, due 12/1/2020
|
175,238 | ||||
FHLG #G12922
|
$493,045 principal, 5.5%, due 12/1/2022
|
533,451 | ||||
FHLG #G13857
|
$3,887,126 principal, 5.5%, due 12/1/2024
|
4,206,902 | ||||
FHLG #G13889
|
$4,392,685 principal, 5.5%, due 12/1/2024
|
4,755,425 | ||||
FHLG #G12578
|
$4,012,694 principal, 5.5%, due 2/1/2022
|
4,344,055 | ||||
FHLG #G11941
|
$2,062,801 principal, 5.5%, due 4/1/2021
|
2,231,854 | ||||
FHLG #G12609
|
$462,601 principal, 5.5%, due 4/1/2022
|
500,657 | ||||
FHLG #G12649
|
$714,795 principal, 5.5%, due 5/1/2022
|
773,821 | ||||
FHLG #G13645
|
$11,788,053 principal, 5.5%, due 5/1/2024
|
12,757,804 | ||||
FHLG #G12322
|
$2,621,713 principal, 5.5%, due 7/1/2021
|
2,836,570 | ||||
FHLG #G12679
|
$499,646 principal, 5.5%, due 8/1/2020
|
543,550 | ||||
FHLG #G01749
|
$2,391,171 principal, 5.5%, due 1/1/2035
|
2,597,709 | ||||
FHLG #G01665
|
$501,676 principal, 5.5%, due 3/1/2034
|
545,165 | ||||
FHLG #G06020
|
$6,500,378 principal, 5.5%, due 12/1/2039
|
7,039,507 | ||||
FHLG #G14160
|
$1,206,935 principal, 6%, due 1/1/2024
|
1,297,503 | ||||
FHLG #J03686
|
$156,773 principal, 6%, due 11/1/2016
|
168,534 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FHLG #G12834
|
$1,201,143 principal, 6%, due 11/1/2022
|
$ | 1,296,531 | |||
FHLG #J06466
|
$1,369,437 principal, 6%, due 11/1/2022
|
1,480,330 | ||||
FHLG #E02429
|
$125,127 principal, 6%, due 12/1/2022
|
135,298 | ||||
FHLG #G11516
|
$477,015 principal, 6%, due 3/1/2018
|
512,810 | ||||
FHLG #G11601
|
$242,159 principal, 6%, due 2/1/2019
|
260,330 | ||||
FHLG #G12511
|
$1,172,766 principal, 6%, due 2/1/2022
|
1,266,634 | ||||
FHLG #G12610
|
$166,864 principal, 6%, due 3/1/2022
|
180,115 | ||||
FHLG #G13346
|
$1,180,667 principal, 6%, due 3/1/2023
|
1,274,429 | ||||
FHLG #G12277
|
$319,584 principal, 6%, due 8/1/2021
|
344,964 | ||||
FHLG #J05404
|
$1,495,965 principal, 6%, due 8/1/2022
|
1,614,766 | ||||
FHLG #E01203
|
$270,860 principal, 6%, due 9/1/2017
|
292,498 | ||||
FHLG #G02987
|
$3,296,173 principal, 6%, due 5/1/2037
|
3,616,654 | ||||
FHLG #G04715
|
$12,230,525 principal, 6%, due 6/1/2038
|
13,419,674 | ||||
FHLG #H09203
|
$599,909 principal, 6%, due 6/1/2038
|
653,550 | ||||
FHLG #H09203
|
$715,498 principal, 6%, due 6/1/2038
|
779,475 | ||||
FHLG #G03457
|
$1,223,108 principal, 6%, due 11/1/2037
|
1,340,882 | ||||
FHLG #G06571
|
$2,133,840 principal, 6%, due 11/1/2037
|
2,339,309 | ||||
FHLG #G12875
|
$938,218 principal, 6.5%, due 11/1/2022
|
1,038,995 | ||||
FHLG #G12602
|
$904,638 principal, 6.5%, due 3/1/2022
|
997,794 | ||||
FHLG #E00996
|
$375,508 principal, 6.5%, due 7/1/2016
|
405,180 | ||||
FHLG #G13621
|
$1,060,471 principal, 6.5%, due 8/1/2021
|
1,148,248 | ||||
FHLG #A64639
|
$707,295 principal, 6.5%, due 8/1/2037
|
782,694 | ||||
FHLG #H09207
|
$1,358,881 principal, 6.5%, due 8/1/2038
|
1,486,754 | ||||
FHLG #H09069
|
$542,401 principal, 6.5%, due 9/1/2037
|
593,442 | ||||
FHLG #H09070
|
$366,573 principal, 6.5%, due 9/1/2037
|
401,068 | ||||
FHLG #H09098
|
$519,279 principal, 6.5%, due 10/1/2037
|
568,144 | ||||
FHLG #H09197
|
$921,063 principal, 6.5%, due 10/1/2038
|
1,007,737 | ||||
FHLG #G01768
|
$597,061 principal, 6.5%, due 12/1/2031
|
669,237 | ||||
FHLG #G01767
|
$885,101 principal, 6.5%, due 12/1/2032
|
992,281 | ||||
FHLG #G06084
|
$11,142,586 principal, 6.5%, due 12/1/2038
|
12,351,296 | ||||
FHLG #G04772
|
$308,994 principal, 7%, due 8/1/2038
|
345,736 | ||||
FHLG 20YR C90871
|
$471,606 principal, 5%, due 12/1/2024
|
508,991 | ||||
FHLG 20YR C90908
|
$426,344 principal, 5%, due 7/1/2025
|
460,140 | ||||
FHLG 20YR C90946
|
$383,699 principal, 5.5%, due 1/1/2026
|
416,810 | ||||
FHLG 20YR G30303
|
$388,496 principal, 5.5%, due 11/1/2023
|
423,234 | ||||
FHLG 20YR C90676
|
$448,875 principal, 5.5%, due 5/1/2023
|
489,012 | ||||
FHLM ARM 783058
|
$349,441 principal, 2.48%, due 3/1/2035
|
365,684 | ||||
FHLM ARM 1K0164
|
$12,219,510 principal, 4.939%, due 4/1/2038
|
13,049,624 | ||||
FHLM ARM 1Q0559
|
$11,784,466 principal, 5.201%, due 6/1/2038
|
12,609,479 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FHLM ARM 1Q0480
|
$21,551,990 principal, 5.161%, due 2/1/2038
|
$ | 22,952,869 | |||
FHLM ARM 1Q0092
|
$388,647 principal, 2.479%, due 3/1/2036
|
406,861 | ||||
FHLM ARM 1Q0378
|
$7,993,422 principal, 5.543%, due 12/1/2037
|
8,530,680 | ||||
FHLM ARM 1Q1101
|
$6,854,500 principal, 3.915%, due 8/1/2037
|
7,300,042 | ||||
FHLM ARM 1Q0379
|
$5,792,302 principal, 5.741%, due 11/1/2037
|
6,294,845 | ||||
FHLMC
|
$45,000,000 principal, 1.375%, due 2/25/2014
|
45,737,415 | ||||
FHLMC
|
$100,000 principal, 6.75%, due 3/15/2031
|
150,513 | ||||
FHLMC PRIN STRIP
|
$2,200,000 principal, 0.0%, due 3/15/2031
|
1,110,976 | ||||
FHMS K702 A1
|
$7,790,096 principal, 2.084%, due 12/25/2017
|
7,952,177 | ||||
FHMS K703 A1
|
$2,195,896 principal, 1.873%, due 1/25/2018
|
2,225,559 | ||||
FHR 2091 PG
|
$1,837,715 principal, 6%, due 11/15/2028
|
2,054,462 | ||||
FHR 2209 B
|
$1,001,504 principal, 7.5%, due 1/20/2030
|
1,181,558 | ||||
FHR 2425 JH
|
$44,013 principal, 6%, due 3/15/2017
|
47,511 | ||||
FHR 2456 CJ
|
$854,851 principal, 6.5%, due 6/15/2032
|
965,998 | ||||
FHR 2523 UP
|
$161,736 principal, 5%, due 4/15/2022
|
161,894 | ||||
FHR 2525 BG
|
$7,382,095 principal, 5.5%, due 7/15/2032
|
7,855,466 | ||||
FHR 2534 EC
|
$177,788 principal, 5%, due 5/15/2022
|
179,380 | ||||
FHR 2538 PE
|
$78,644 principal, 5.5%, due 9/15/2031
|
79,008 | ||||
FHR 2543 LX
|
$521,195 principal, 5%, due 12/15/2017
|
557,437 | ||||
FHR 2557 GU
|
$542,455 principal, 5%, due 1/15/2018
|
580,566 | ||||
FHR 2558 JS
|
$51,662 principal, 4.5%, due 6/15/2022
|
52,687 | ||||
FHR 2561 UE
|
$1,538,276 principal, 5.5%, due 6/15/2022
|
1,579,296 | ||||
FHR 2568 GE
|
$483,368 principal, 5.5%, due 9/15/2031
|
496,496 | ||||
FHR 2574 JM
|
$472,935 principal, 5%, due 12/15/2022
|
493,045 | ||||
FHR 2575 KA
|
$472,314 principal, 5%, due 11/15/2017
|
488,595 | ||||
FHR 2582 CB
|
$15,279,169 principal, 5%, due 3/15/2018
|
16,380,470 | ||||
FHR 2582 PE
|
$142,252 principal, 5.5%, due 12/15/2031
|
143,741 | ||||
FHR 2614 NA
|
$326,556 principal, 3.75%, due 4/15/2033
|
332,672 | ||||
FHR 2617 VT
|
$399,904 principal, 5%, due 5/15/2014
|
404,193 | ||||
FHR 2626 TB
|
$840,600 principal, 5%, due 6/15/2033
|
915,949 | ||||
FHR 2628 AB
|
$943,615 principal, 4.5%, due 6/15/2018
|
983,980 | ||||
FHR 2631 MC
|
$761,121 principal, 5%, due 2/15/2032
|
784,060 | ||||
FHR 2646 HC
|
$285,299 principal, 5%, due 5/15/2029
|
288,456 | ||||
FHR 2661 FG 1ML+45
|
$548,804 principal, 0.693%, due 3/15/2017
|
551,080 | ||||
FHR 2663 ME
|
$4,900,000 principal, 5%, 8/15/2018
|
5,369,862 | ||||
FHR 2666 OC
|
$923,537 principal, 5.5%, due 1/15/2022
|
951,931 | ||||
FHR 2681 PD
|
$571,472 principal, 5%, due 8/15/2020
|
571,373 | ||||
FHR 2683-JB
|
$2,440,000 principal, 4%, due 9/15/2018
|
2,559,282 | ||||
FHR 2710 HJ
|
$284,854 principal, 4.75%, due 12/15/2022
|
291,702 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FHR 2717 LG
|
$299,244 principal, 5.5%, due 4/15/2032
|
$ | 309,425 | |||
FHR 2720 PC
|
$135,329 principal, 5%, due 12/15/2023
|
145,529 | ||||
FHR 2723 EA
|
$288,204 principal, 5%, due 1/15/2018
|
293,715 | ||||
FHR 2727 PD
|
$99,604 principal, 4.5%, due 6/15/2029
|
101,004 | ||||
FHR 2765 CA
|
$291,548 principal, 4%, due 7/15/2017
|
295,412 | ||||
FHR 2773 HJ
|
$815,820 principal, 4%, due 12/15/2017
|
824,783 | ||||
FHR 2786 BC
|
$1,000,000 principal, 4%, due 4/15/2019
|
1,060,309 | ||||
FHR 2795 CL
|
$41,575 principal, 4.5%, due 7/15/2017
|
41,888 | ||||
FHR 2809 DB
|
$84,622 principal, 4.5%, due 7/15/2017
|
84,494 | ||||
FHR 2843 VA
|
$82,189 principal, 5.5%, due 7/15/2015
|
86,644 | ||||
FHR 2860 CA
|
$122,540 principal, 5%, due 1/15/2019
|
126,308 | ||||
FHR 2864 NA
|
$571,331 principal, 5.5%, due 1/15/2031
|
588,961 | ||||
FHR 2870 KC
|
$350,815 principal, 4.25%, due 5/15/2018
|
355,409 | ||||
FHR 2886 BD
|
$475,180 principal, 4.5%, due 4/15/2019
|
493,495 | ||||
FHR 2890 KA
|
$206,669 principal, 4.5%, due 3/15/2018
|
209,372 | ||||
FHR 2890 KC
|
$607,424 principal, 4.5%, due 2/15/2019
|
627,463 | ||||
FHR 2890 PC
|
$226,144 principal, 5%, due 7/15/2030
|
229,286 | ||||
FHR 2892 AD
|
$88,884 principal, 5%, due 11/5/2024
|
95,681 | ||||
FHR 2899 TC
|
$713,902 principal, 5%, due 4/15/2019
|
740,653 | ||||
FHR 2922 Z
|
$885,454 principal, 5.5%, due 1/15/2032
|
908,507 | ||||
FHR 2938 EB
|
$1,579,542 principal, 5%, due 2/15/2025
|
1,702,566 | ||||
FHR 2951 MG
|
$91,043 principal, 5.5%, due 9/15/2022
|
91,747 | ||||
FHR 2965 GC
|
$586,931 principal, 4.5%, due 11/15/2018
|
601,397 | ||||
FHR 2975 OE
|
$945,862 principal, 5.5%, due 10/15/2031
|
967,252 | ||||
FHR 2980 LC
|
$159,098 principal, 5.5%, due 8/15/2030
|
159,554 | ||||
FHR 3070 QD
|
$48,040 principal, 5%, due 9/15/2028
|
47,968 | ||||
FHR 3080 UA
|
$4,501 principal, 5.5%, due 3/15/2032
|
4,499 | ||||
FHR 3113 QB
|
$76,343 principal, 5%, due 2/15/2029
|
76,318 | ||||
FHR 3116 AC
|
$1,000,000 principal, 5.5%, due 12/15/2032
|
1,014,161 | ||||
FHR 3138 GW
|
$240,045 principal, 5%, due 12/15/2023
|
244,403 | ||||
FHR 3147 YE
|
$370,934 principal, 5.5%, due 7/15/2024
|
379,024 | ||||
FHR 3197 D
|
$215,409 principal, 5%, due 3/15/2032
|
216,194 | ||||
FHR 3200 DA
|
$329,005 principal, 5.5%, due 2/15/2034
|
334,239 | ||||
FHR 3201 WA
|
$701,228 principal, 5.5%, due 8/15/2033
|
717,482 | ||||
FHR 3284 EA
|
$281,807 principal, 5.5%, due 12/15/2019
|
286,233 | ||||
FHR 3291 BY
|
$1,700,000 principal, 4.5%, due 3/15/2022
|
1,857,637 | ||||
FHR 3294 DA
|
$367,843 principal, 4.5%, due 12/15/2020
|
378,817 | ||||
FHR 3440 JA
|
$806,121 principal, 4.5%, due 10/15/2017
|
839,518 | ||||
FHR 3451 AB
|
$216,107 principal, 5%, due 9/15/2034
|
220,451 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FHR 3487 MA
|
$376,168 principal, 5.5%, due 11/15/2034
|
$ | 382,009 | |||
FHRR R001 AE
|
$9,613 principal, 4.375%, due 4/15/2015
|
9,599 | ||||
FICO
|
$700,000 principal, 0.0%, due 10/6/2016
|
658,442 | ||||
FICO
|
$400,000 principal, 0.0%, due 12/27/2018
|
347,155 | ||||
FNGT 2001-T10 A1
|
$133,694 principal, 7%, due 12/25/2041
|
150,384 | ||||
FNGT 2001-T5 A2 CSTR
|
$426,900 principal, 6.991%, due 2/19/2030
|
475,228 | ||||
FNMA #MA0583
|
$50.232 principal, 4%, due 12/1/2040
|
52,762 | ||||
FNMA #AD0310
|
$3,068,461 principal, 7%, due 12/1/2038
|
3,430,443 | ||||
FNMA #734741
|
$298,960 principal, 4%, due 10/1/2018
|
315,326 | ||||
FNMA #555969
|
$561,718 principal, 4%, due 12/1/2018
|
592,468 | ||||
FNMA #888226
|
$10,716,040 principal, 4%, due 3/1/2020
|
11,309,233 | ||||
FNMA #888303
|
$263,386 principal, 4%, due 3/1/2022
|
278,298 | ||||
FNMA #890134
|
$920,645 principal, 4%, due 3/1/2022
|
973,344 | ||||
FNMA #731051
|
$219,224 principal, 4%, due 7/1/2018
|
231,225 | ||||
FNMA #AE0968
|
$7,517,383 principal, 4%, due 7/1/2019
|
7,928,901 | ||||
FNMA #745018
|
$625,698 principal, 4%, due 9/1/2020
|
661,514 | ||||
FNMA #AE7264
|
$2,358,408 principal, 4%, due 1/1/2041
|
2,477,200 | ||||
FNMA #AH1130
|
$50,197 principal, 4%, due 1/1/2041
|
52,725 | ||||
FNMA #AH1315
|
$621,210 principal, 4%, due 1/1/2041
|
652,500 | ||||
FNMA #AH3083
|
$860,554 principal, 4%, due 1/1/2041
|
903,900 | ||||
FNMA #AH5122
|
$491,520 principal, 4%, due 1/1/2041
|
516,277 | ||||
FNMA #AJ8023
|
$583,660 principal, 4%, due 1/1/2042
|
613,788 | ||||
FNMA #AB2528
|
$1,046,612 principal, 4%, due 3/1/2041
|
1,099,330 | ||||
FNMA #AH2753
|
$960,920 principal, 4%, due 4/1/2041
|
1,009,321 | ||||
FNMA #AI2297
|
$967,631 principal, 4%, due 5/1/2041
|
1,016,370 | ||||
FNMA #AE0113
|
$542,457 principal, 4%, due 7/1/2040
|
569,780 | ||||
FNMA #AE0216
|
$600,159 principal, 4%, due 8/1/2040
|
630,389 | ||||
FNMA #AI8713
|
$98,457 principal, 4%, due 8/1/2041
|
103,416 | ||||
FNMA #AE3148
|
$818,261 principal, 4%, due 9/1/2040
|
859,476 | ||||
FNMA #AE4749
|
$488,195 principal, 4%, due 9/1/2040
|
512,786 | ||||
FNMA #AE5078
|
$529,924 principal, 4%, due 9/1/2040
|
556,616 | ||||
FNMA #AE5296
|
$78,580 principal, 4%, due 9/1/2040
|
82,538 | ||||
FNMA #AJ0770
|
$1,000,000 principal, 4%, due 9/1/2041
|
1,051,151 | ||||
FNMA #AJ0784
|
$3,058,606 principal, 4%, due 9/1/2041
|
3,215,057 | ||||
FNMA #AE2521
|
$318,582 principal, 4%, due 10/1/2040
|
334,629 | ||||
FNMA #AE3571
|
$698,471 principal, 4%, due 10/1/2040
|
733,653 | ||||
FNMA #AE4818
|
$54,954 principal, 4%, due 10/1/2040
|
57,842 | ||||
FNMA #AI7593
|
$70,076 principal, 4%, due 10/1/2041
|
73,693 | ||||
FNMA #MA0869
|
$7,827,303 principal, 4%, due 10/1/2041
|
8,227,676 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FNMA #AE2662
|
$398,222 principal, 4%, due 11/1/2040
|
$ | 418,281 | |||
FNMA #AE5147
|
$100,000 principal, 4%, due 11/1/2040
|
105,037 | ||||
FNMA #AE7408
|
$511,705 principal, 4%, due 11/1/2040
|
537,479 | ||||
FNMA #AE8873
|
$68,326 principal, 4%, due 11/1/2040
|
71,767 | ||||
FNMA #AE9765
|
$71,630 principal, 4%, due 11/1/2040
|
75,238 | ||||
FNMA #MA0561
|
$355,712 principal, 4%, due 11/1/2040
|
373,629 | ||||
FNMA #AJ3087
|
$1,283,478 principal, 4%, due 11/1/2041
|
1,349,731 | ||||
FNMA #AE0215
|
$644,892 principal, 4%, due 12/1/2039
|
677,375 | ||||
FNMA #AE3170
|
$1,963,033 principal, 4%, due 12/1/2040
|
2,061,910 | ||||
FNMA #AE7848
|
$301,430 principal, 4%, due 12/1/2040
|
316,613 | ||||
FNMA #AE7858
|
$79,481 principal, 4%, due 12/1/2040
|
83,484 | ||||
FNMA #AE8070
|
$27,236 principal, 4%, due 12/1/2040
|
28,608 | ||||
FNMA #AH0152
|
$546,779 principal, 4%, due 12/1/2040
|
574,320 | ||||
FNMA #AH0877
|
$673,003 principal, 4%, due 12/1/2040
|
706,901 | ||||
FNMA #AH1104
|
$508,381 principal, 4%, due 12/1/2040
|
533,988 | ||||
FNMA #AJ9272
|
$213,736 principal, 4%, due 12/1/2041
|
224,769 | ||||
FNMA #MA0956
|
$40,055 principal, 4%, due 1/1/2042
|
42,123 | ||||
FNMA #255547
|
$893,382 principal, 4.5%, due 1/1/2020
|
953,343 | ||||
FNMA #357695
|
$531,595 principal, 4.5%, due 1/1/2020
|
567,275 | ||||
FNMA #889907
|
$617,970 principal, 4.5%, due 10/1/2020
|
659,834 | ||||
FNMA #735841
|
$386,932 principal, 4.5%, due 11/1/2019
|
413,239 | ||||
FNMA #995574
|
$705,335 principal, 4.5%, due 11/1/2021
|
753,117 | ||||
FNMA #995158
|
$1,652,513 principal, 4.5%, due 12/1/2020
|
1,764,459 | ||||
FNMA #995465
|
$8,747,863 principal, 4.5%, due 12/1/2020
|
9,340,468 | ||||
FNMA #995321
|
$427,286 principal, 4.5%, due 12/1/2021
|
456,766 | ||||
FNMA #AD0646
|
$5,297,907 principal, 4.5%, due 3/1/2021
|
5,653,491 | ||||
FNMA #770118
|
$727,664 principal, 4.5%, due 4/1/2019
|
776,162 | ||||
FNMA #852931
|
$1,512,014 principal, 4.5%, due 4/1/2021
|
1,616,332 | ||||
FNMA #889531
|
$691,083 principal, 4.5%, due 5/1/2022
|
737,899 | ||||
FNMA #AE0731
|
$10,722,959 principal, 4.5%, due 5/1/2022
|
11,437,634 | ||||
FNMA #745017
|
$1,077,717 principal, 4.5%, due 7/1/2020
|
1,150,997 | ||||
FNMA #745393
|
$469,964 principal, 4.5%, due 9/1/2020
|
502,182 | ||||
FNMA #357477
|
$2,146,805 principal, 5%, due 1/1/2019
|
2,309,132 | ||||
FNMA #888564
|
$2,112,417 principal, 5%, due 10/1/2021
|
2,281,911 | ||||
FNMA #257481
|
$699,738 principal, 5%, due 11/1/2018
|
752,384 | ||||
FNMA #357673
|
$1,166,278 principal, 5%, due 12/1/2019
|
1,258,398 | ||||
FNMA #888436
|
$751,220 principal, 5%, due 12/1/2021
|
810,556 | ||||
FNMA #889342
|
$537,526 principal, 5%, due 3/1/2023
|
580,656 | ||||
FNMA #879112
|
$267,108 principal, 5%, due 5/1/2021
|
288,373 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FNMA #255735
|
$2,090,711 principal, 5% , due 6/1/2020
|
$ | 2,255,849 | |||
FNMA #AD0657
|
$2,222,920 principal, 5%, due 6/1/2023
|
2,401,280 | ||||
FNMA #724906
|
$3,349,657 principal, 5%, due 7/1/2018
|
3,601,674 | ||||
FNMA #AD0630
|
$1,416,271 principal, 5%, due 7/1/2024
|
1,529,023 | ||||
FNMA #897935
|
$894,742 principal, 5%, due 8/1/2021
|
965,974 | ||||
FNMA #773515
|
$776,823 principal, 5%, due 9/1/2019
|
838,182 | ||||
FNMA #995063
|
$3,918,092 principal, 5%, due 9/1/2019
|
4,212,876 | ||||
FNMA #255841
|
$1,355,854 principal, 5%, due 9/1/2020
|
1,463,796 | ||||
FNMA #725205
|
$2,631,062 principal, 5%, due 3/1/2034
|
2,841,501 | ||||
FNMA #254797
|
$902,914 principal, 5%, due 6/1/2013
|
979,108 | ||||
FNMA #745629
|
$846,059 principal, 5.16%, due 1/1/2018
|
939,052 | ||||
FNMA #AL0278
|
$5,090,956 principal, 5.5% ,due 1/1/2025
|
5,529,256 | ||||
FNMA #995428
|
$1,202,399 principal, 5.5%, due 11/1/2023
|
1,309,300 | ||||
FNMA #995874
|
$1,447,119 principal, 5.5%, due 11/1/2023
|
1,574,420 | ||||
FNMA #735930
|
$179,445 principal, 5.5%, due 12/1/2018
|
194,894 | ||||
FNMA #889717
|
$553,791 principal, 5.5%, due 12/1/2021
|
603,026 | ||||
FNMA #745453
|
$224,616 principal, 5.5%, due 3/1/2021
|
244,375 | ||||
FNMA #929225
|
$1,217,870 principal, 5.5%, due 3/1/2023
|
1,323,673 | ||||
FNMA #AE0467
|
$1,744,499 principal, 5.5%, due 3/1/2024
|
1,899,051 | ||||
FNMA #745986
|
$1,512,694 principal, 5.5%, due 6/1/2020
|
1,642,927 | ||||
FNMA #256754
|
$852,245 principal, 5.5%, due 6/1/2022
|
928,015 | ||||
FNMA #936479
|
$2,508,674 principal, 5.5%, due 7/1/2021
|
2,731,711 | ||||
FNMA #AE0011
|
$431,668 principal, 5.5%, due 9/1/2023
|
470,181 | ||||
FNMA #735989
|
$1,023,341 principal, 5.5%, due 2/1/2035
|
1,114,771 | ||||
FNMA #725425
|
$2,047,633 principal, 5.5%, due 4/1/2034
|
2,230,258 | ||||
FNMA #AD0250
|
$1,010,887 principal, 5.5%, due 4/1/2035
|
1,101,204 | ||||
FNMA #AD0249
|
$4,342,261 principal, 5.5%, due 4/1/2037
|
4,730,218 | ||||
FNMA #555424
|
$1,611,757 principal, 5.5%, due 5/1/2033
|
1,755,758 | ||||
FNMA #555432
|
$268,136 principal, 5.5%, due 5/1/2033
|
292,093 | ||||
FNMA #735715
|
$737,842 principal, 5.5%, due 5/1/2035
|
803,648 | ||||
FNMA #254767
|
$4,874,748 principal, 5.5%, due 6/1/2033
|
5,310,279 | ||||
FNMA #555531
|
$2,808,780 principal, 5.5%, due 6/1/2033
|
3,059,729 | ||||
FNMA #555531
|
$6,806,004 principal, 5.5%, due 6/1/2033
|
7,414,082 | ||||
FNMA #555592
|
$1,611,114 principal, 5.5%, due 7/1/2033
|
1,755,058 | ||||
FNMA #888450
|
$979,315 principal, 5.5%, due 8/1/2035
|
1,066,811 | ||||
FNMA #889641
|
$1,666,604 principal, 5.5%, due 8/1/2037
|
1,815,245 | ||||
FNMA #745751
|
$2,016,092 principal, 5.5%, due 9/1/2035
|
2,195,904 | ||||
FNMA #888996
|
$2,072,680 principal, 5.5%, due 9/1/2036
|
2,257,539 | ||||
FNMA #AE0099
|
$4,180,626 principal, 5.5%, due 10/1/2036
|
4,553,488 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FNMA #254548
|
$1,296,829 principal, 5.5%, due 12/1/2032
|
$ | 1,412,693 | |||
FNMA #889855
|
$574,736 principal, 5.5%, due 11/1/2033
|
626,085 | ||||
FNMA #725946
|
$907,995 principal, 5.5%, due 11/1/2034
|
988,978 | ||||
FNMA #745096
|
$529,907 principal, 5.5%, due 11/1/2034
|
577,168 | ||||
FNMA #535943
|
$556,985 principal, 5.5%, due 12/1/2030
|
605,617 | ||||
FNMA #555342
|
$296,927 principal, 6%, due 11/1/2017
|
320,287 | ||||
FNMA #888017
|
$1,374,981 principal, 6%, due 11/1/2021
|
1,489,169 | ||||
FNMA #725194
|
$270,621principal, 6%, due 12/1/2018
|
291,911 | ||||
FNMA #725678
|
$411,524 principal, 6%, due 2/1/2019
|
443,899 | ||||
FNMA #555413
|
$563,582 principal, 6%, due 3/1/2018
|
608,309 | ||||
FNMA #725135
|
$542,204 principal, 6%, due 5/1/2018
|
584,860 | ||||
FNMA #AL0446
|
$9,641,407 principal, 6%, due 5/1/2024
|
10,436,071 | ||||
FNMA #888631
|
$1,752,126 principal, 6%, due 8/1/2022
|
1,898,729 | ||||
FNMA #725993
|
$437,947 principal, 6%, due 9/1/2019
|
472,401 | ||||
FNMA #735439
|
$469,965 principal, 6%, due 9/1/2019
|
506,938 | ||||
FNMA #901198
|
$77,119 principal, 6%, due 9/1/2021
|
83,599 | ||||
FNMA #936484
|
$1,658,265 principal, 6%, due 9/1/2021
|
1,797,015 | ||||
FNMA #990975
|
$1,708,465 principal, 6%, due 9/1/2023
|
1,853,017 | ||||
FNMA #AD0089
|
$1,160,535 principal, 6%, due 1/1/2039
|
1,275,683 | ||||
FNMA #725162
|
$5,695,510 principal, 6%, due 2/1/2034
|
6,348,579 | ||||
FNMA #888268
|
$1,127,013 principal, 6%, due 3/1/2037
|
1,240,596 | ||||
FNMA #AE0616
|
$1,791,017 principal, 6%, due 3/1/2040
|
1,979,916 | ||||
FNMA #888673
|
$513,607 principal, 6%, due 4/1/2035
|
571,256 | ||||
FNMA #890341
|
$1,679,018 principal, 6%, due 6/1/2040
|
1,845,611 | ||||
FNMA #AD0119
|
$2,546,917 principal, 6%, due 7/1/2038
|
2,799,622 | ||||
FNMA #995487
|
$1,591,848 principal, 6%, due 8/1/2037
|
1,773,963 | ||||
FNMA #AD0217
|
$3,258,031 principal, 6%, due 8/1/2037
|
3,632,167 | ||||
FNMA #993724
|
$1,970,582 principal, 6%, due 8/1/2038
|
2,166,103 | ||||
FNMA #AE0371
|
$1,008,996 principal, 6%, due 9/1/2039
|
1,109,109 | ||||
FNMA #888736
|
$1,685,063 principal, 6%, due 10/1/2037
|
1,840,671 | ||||
FNMA #AE0076
|
$1,452,588 principal, 6%, due 10/1/2039
|
1,596,714 | ||||
FNMA #AL0851
|
$5,175,021 principal, 6%, due 10/1/2040
|
5,688,488 | ||||
FNMA #190129
|
$728,904 principal, 6%, due 11/1/2023
|
801,226 | ||||
FNMA #AD0163
|
$2,169,362 principal, 6%, due 11/1/2034
|
2,418,523 | ||||
FNMA #995367
|
$2,764,539 principal, 6%, due 11/1/2038
|
3,038,838 | ||||
FNMA #970867
|
$2,483,582 principal, 6%, due 12/1/2038
|
2,730,004 | ||||
FNMA #725157
|
$329,758 principal, 6.5%, due 9/1/2017
|
359,750 | ||||
FNMA #725160
|
$439,291 principal, 6.5%, due 4/1/2018
|
475,072 | ||||
FNMA #888878
|
$842,509 principal, 6.5%, due 10/1/2022
|
932,197 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FNMA #745596
|
$691,619 principal, 6.5%, due 4/1/2021
|
$ | 756,922 | |||
FNMA #995952
|
$1,610,162 principal, 6.5%, due 2/1/2038
|
1,769,480 | ||||
FNMA #889784
|
$558,556 principal, 6.5%, due 7/1/2038
|
620,804 | ||||
FNMA #256937
|
$300,353 principal, 6.5%, due 10/1/2037
|
330,071 | ||||
FNMA #889984
|
$986,751 principal, 6.5%, due 10/1/2038
|
1,096,720 | ||||
FNMA #AD0128
|
$3,107,858 principal, 6.5%, due 10/1/2038
|
3,454,214 | ||||
FNMA #735415
|
$559,542 principal, 6.5%, due 12/1/2032
|
626,621 | ||||
FNMA
|
$200,000 principal, 0.0%, due 6/1/2017
|
184,202 | ||||
FNMA #888367
|
$8,675,972 principal, 7%, due 3/1/2037
|
9,699,466 | ||||
FNMA #888369
|
$355,849 principal, 7%, due 3/1/2037
|
398,273 | ||||
FNMA #545723
|
$635,046 principal, 7%, due 4/1/2032
|
728,147 | ||||
FNMA #888366
|
$766,548 principal, 7%, due 4/1/2037
|
857,935 | ||||
FNMA #679887
|
$974,182 principal, 7%, due 8/1/2032
|
1,116,174 | ||||
FNMA #725180
|
$717,846 principal, 7%, due 9/1/2028
|
812,928 | ||||
FNMA #256939
|
$827,111 principal, 7%, due 10/1/2037
|
924,684 | ||||
FNMA
|
$20,000,000 principal, 0.75%, due 2/26/2013
|
20,112,420 | ||||
FNMA
|
$3,300,000 principal, 0.0%, due 3/23/2028
|
1,913,627 | ||||
FNMA 555414
|
$417,418 principal, 4.751%, due 4/1/2013
|
427,290 | ||||
FNMA 257541
|
$272,213 principal, 5%, due 1/1/2019
|
292,694 | ||||
FNMA AL0472
|
$27,800,378 principal, 5.5%, due 1/1/2019
|
30,193,818 | ||||
FNMA 545471
|
$576,339 principal, 5.906%, due 2/1/2012
|
576,314 | ||||
FNMA 256335
|
$280,778 principal, 6%, due 7/1/2016
|
302,867 | ||||
FNMA 545527
|
$224,422 principal, 6.113%, due 2/1/2012
|
224,411 | ||||
FNMA 254799
|
$2,943,138 principal, 5%, due 7/1/2023
|
3,191,501 | ||||
FNMA 255713
|
$802,972 principal, 4.5%, due 4/1/2025
|
857,885 | ||||
FNMA 254985
|
$350,491 principal, 5%, due 11/1/2023
|
379,849 | ||||
FNMA 254908
|
$127,047 principal, 5%, due 9/1/2023
|
137,689 | ||||
FNMA 254589
|
$1,480,297 principal, 5.5%, due 1/1/2023
|
1,619,254 | ||||
FNMA 255575
|
$699,088 principal, 5.5%, due 1/1/2025
|
763,402 | ||||
FNMA 254963
|
$526,318 principal, 5.5%, due 10/1/2023
|
574,737 | ||||
FNMA 255456
|
$447,563 principal, 5.5%, due 10/1/2024
|
488,737 | ||||
FNMA 254986
|
$364,029 principal, 5.5%, due 11/1/2023
|
397,518 | ||||
FNMA 256103
|
$790,259 principal, 5.5%, due 2/1/2026
|
861,971 | ||||
FNMA 254688
|
$764,020 principal, 5.5%, due 3/1/2023
|
835,739 | ||||
FNMA 256928
|
$790,697 principal, 6%, due 10/1/2027
|
874,030 | ||||
FNMA 257007
|
$2,559,520 principal, 6%, due 12/1/2027
|
2,829,269 | ||||
FNMA 889157
|
$491,488 principal, 6%, due 2/1/2028
|
543,286 | ||||
FNMA 257295
|
$434,526 principal, 6%, due 7/1/2028
|
480,321 | ||||
FNMA 888079
|
$931,052 principal, 6.5%, due 10/1/2026
|
1,042,814 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FNMA 256628
|
$744,738 principal, 6.5%, due 2/1/2027
|
$ | 834,135 | |||
FNMA 256653
|
$602,419 principal, 6.5%, due 3/1/2027
|
674,732 | ||||
FNMA 888956
|
$732,128 principal, 6%, due 3/1/2036
|
811,115 | ||||
FNMA #AD0833
|
$3,524,224 principal, 6%, due 1/1/2039
|
3,873,898 | ||||
FNMA
|
$3,900,000 principal, 6.625%, due 11/15/2030
|
5,767,269 | ||||
FNMA
|
$600,000 principal, 7.125%, due 1/15/2030
|
920,882 | ||||
FNMA
|
$500,000 principal, 7.25%, due 5/15/2030
|
779,656 | ||||
FNMA 466807
|
$196,779 principal, 3.32%, due 1/1/2018
|
206,984 | ||||
FNMA AD0660
|
$98,251 principal, 4.53%, due 12/1/2019
|
109,802 | ||||
FNMA 888381
|
$478,114 principal, 5.507%, due 4/1/2017
|
533,657 | ||||
FNMA
|
$4,500,000 principal, 8.1%, due 8/12/2019
|
6,363,252 | ||||
FNMA ARM 689019
|
$1,213,375 principal, 2.373%, due 5/1/2033
|
1,271,501 | ||||
FNMA ARM 806697
|
$839,714 principal, 2.828%, due 1/1/2035
|
879,266 | ||||
FNMA ARM 832100
|
$788,914 principal, 2.415%, due 7/1/2035
|
835,320 | ||||
FNMA ARM AE0046
|
$23,144,193 principal, 3.931%, due 3/1/2039
|
24,452,303 | ||||
FNMA ARM 995288
|
$5,802,689 principal, 5.494%, due 9/1/2038
|
6,149,333 | ||||
FNMA ARM AE0180
|
$17,134,562 principal, 5.938%, due 9/1/2037
|
18,363,461 | ||||
FNMA PRIN STRIP
|
$200,000 principal, 0.0%, due 11/15/2030
|
100,133 | ||||
FNMA MTN DN
|
$1,600,000 principal, 0%, due 11/15/2030
|
808,842 | ||||
FNR 02-11 UC
|
$518,530 principal, 6%, due 3/25/2017
|
564,638 | ||||
FNR 03-32 NA 3
|
$381,877 principal, 3.75%, due 12/25/2017
|
389,126 | ||||
FNR 2001-66 Z
|
$953,609 principal, 6%, due 11/25/2031
|
1,061,339 | ||||
FNR 2002-11 QC
|
$229,079 principal, 5.5%, due 3/25/2017
|
243,483 | ||||
FNR 2002-62 ZE
|
$668,509 principal, 5.5%, due 11/25/2017
|
713,701 | ||||
FNR 2002-74 LE
|
$182,375 principal, 5%, due 11/25/2017
|
194,859 | ||||
FNR 2002-83 ME
|
$392,617 principal, 5%, due 12/25/2017
|
418,896 | ||||
FNR 2002-90 A1
|
$650,985 principal, 6.5%, due 6/25/2042
|
728,502 | ||||
FNR 2002-93 CM
|
$88,518 principal, 5.5%, due 10/25/2031
|
90,278 | ||||
FNR 2002-94 HM
|
$633,880 principal, 4.5%, due 1/25/2018
|
672,923 | ||||
FNR 2002-95 GQ
|
$828,332 principal, 5%, due 1/25/2018
|
884,440 | ||||
FNR 2002-97 PG
|
$462,260 principal, 5.5%, due 12/25/2031
|
471,966 | ||||
FNR 2003-21 NB
|
$575,842 principal, 5.5%, due 9/25/2030
|
577,898 | ||||
FNR 2003-21 XE
|
$596,786 principal, 5.5%, due 10/25/2031
|
603,126 | ||||
FNR 2003-28 KA
|
$47,327 principal, 4.25%, due 3/25/2022
|
47,765 | ||||
FNR 2003-28 KW
|
$236,633 principal, 4%, due 5/25/2022
|
238,571 | ||||
FNR 2003-34 BA
|
$133,655 principal, 4%, due 5/25/2022
|
134,701 | ||||
FNR 2003-35 TE
|
$553,151 principal, 5%, due 5/25/2018
|
591,203 | ||||
FNR 2003-42 JG
|
$289,982 principal, 5.5%, due 5/25/2032
|
292,966 | ||||
FNR 2003-75 GD
|
$152,691 principal, 3.5%, due 8/25/2023
|
160,463 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FNR 2003-81 GE
|
$562,495 principal, 4.5%, due 4/25/2018
|
$ | 582,752 | |||
FNR 2003-91 GB
|
$572,538 principal, 4.5%, due 9/25/2018
|
609,013 | ||||
FNR 2004-29 G
|
$181,855 principal, 4.5%, due 12/25/2017
|
181,531 | ||||
FNR 2004-45 VL
|
$48,922 principal, 6%, due 7/25/2023
|
49,050 | ||||
FNR 2004-70 BD
|
$1,975,608 principal, 4.5%, due 10/25/2019
|
2,101,216 | ||||
FNR 2004-74 BA
|
$117,471 principal, 4.5%, due 9/25/2028
|
118,774 | ||||
FNR 2005-100 TB
|
$8,605,252 principal, 5.5%, due 11/25/2031
|
8,814,667 | ||||
FNR 2005-21 FM
|
$939,707 principal, 0.594%, due 3/25/2035
|
941,199 | ||||
FNR 2005-48 OM
|
$37,534 principal, 5%, due 3/25/2030
|
37,788 | ||||
FNR 2005-58 BA
|
$474,134 principal, 5.5%, due 12/25/2023
|
489,090 | ||||
FNR 2005-73 DF
|
$3,548,893 principal, 0.494%, due 8/25/2035
|
3,551,984 | ||||
FNR 2005-8 CA
|
$2,596,766 principal, 5%, due 1/25/2023
|
2,661,109 | ||||
FNR 2005-8 EA
|
$1,022,888 principal, 5%, due 7/25/2019
|
1,059,841 | ||||
FNR 2005-87 PC
|
$794,315 principal, 5%, due 2/25/2027
|
793,350 | ||||
FNR 2005-87 PD
|
$2,015,000 principal, 5%, due 7/25/2030
|
2,083,764 | ||||
FNR 2006-21 UA
|
$50,917 principal, 5.5%, due 12/25/2032
|
51,426 | ||||
FNR 2006-29 PB
|
$476,693 principal, 5.5%, due 2/25/2032
|
484,429 | ||||
FNR 2006-4 CD
|
$121,014 principal, 6%, due 1/25/2024
|
123,442 | ||||
FNR 2006-59 DC
|
$155,381 principal, 6.5%, due 12/25/2033
|
158,115 | ||||
FNR 2006-62 TM
|
$248,098 principal, 5.5%, due 2/25/2033
|
256,535 | ||||
FNR 2006-64 LB
|
$2,697,216 principal, 5.5%, due 6/25/2032
|
2,804,251 | ||||
FNR 2006-8 JA
|
$64,728 principal, 5.5%, due 12/25/2032
|
65,053 | ||||
FNR 2006-93 BA
|
$863,494 principal, 5.5%, due 7/25/2033
|
908,238 | ||||
FNR 2007-114 A6
|
$100,000 principal, 0.444%, due 10/27/2037
|
99,394 | ||||
FNR 2007-35 DM
|
$656,965 principal, 5%, due 12/25/2024
|
673,964 | ||||
FNR 2007-80 PA
|
$632,123 principal, 5.5%, due 3/25/2031
|
639,311 | ||||
FNR 2008-15 EL
|
$9,633,205 principal, 4.25%, due 6/25/2022
|
10,037,751 | ||||
FNR 2008-20 AG
|
$258,363 principal, 4.2%, due 7/25/2022
|
268,621 | ||||
FNR 2008-40 LD
|
$2,166,783 principal, 6%, due 3/25/2031
|
2,236,281 | ||||
FNR 2008-41 A
|
$907,854 principal, 4.5%, due 12/25/2022
|
948,062 | ||||
FNR 2009-19 ED
|
$435,268 principal, 4%, due 10/25/2019
|
457,453 | ||||
FNR 2009-26 KA
|
$277,271 principal, 4%, due 2/25/2023
|
285,836 | ||||
FNR 2009-36 HD
|
$2,679,747 principal, 4%, due 10/25/2027
|
2,759,798 | ||||
FNR 2009-52 AJ
|
$612,985 principal, 4%, due 7/25/2024
|
642,572 | ||||
FNR 2009-70 NK
|
$281,379 principal, 4.5%, due 8/25/2019
|
296,550 | ||||
FNR 2010-119 FK
|
$3,249,400 principal, 0.744%, due 4/25/2040
|
3,244,857 | ||||
FNR 2010-17 DA
|
$789,466 principal, 4.5%, due 6/25/2021
|
835,185 | ||||
FNR 2010-57 TW
|
$289,498 principal, 5%, due 7/25/2025
|
305,578 | ||||
FNR 2011-16 GJ
|
$285,455 principal, 3.5%, due 3/25/2026
|
298,358 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
FNR 2011-68 MK
|
$843,459 principal, 5%, due 6/25/2021
|
$ | 908,937 | |||
FNW 2003-W4 3A
|
$470,397 principal, 7%, due 10/25/2042
|
545,062 | ||||
FNW 2004-W2 5A
|
$358,355 principal, 7.5%, due 3/25/2044
|
398,717 | ||||
FSPC T-51 1A CSTR
|
$438,601 principal, 6.5%, due 9/25/2043
|
486,900 | ||||
FSPC T-54 3A
|
$792,952 principal, 7%, due 2/25/2043
|
937,163 | ||||
GNMA #604075
|
$599,087 principal, 5%, due 3/15/2018
|
644,108 | ||||
GNMA #782500
|
$802,554 principal, 5.5%, due 12/15/2023
|
875,693 | ||||
GNMA #782189
|
$803,688 principal, 6.5%, due 6/15/2022
|
872,414 | ||||
GNR 03-86 VE
|
$20,648 principal, 4.5%, due 11/20/2014
|
20,648 | ||||
GNR 2010-31 BP
|
$200,000 principal, 5%, due 3/20/2040
|
229,169 | ||||
GSBA 2006-20K
|
$616,166 principal, 5.36%, due 11/1/2026
|
687,989 | ||||
GSMPS 2004-4 1A3
|
$457,898 principal, 8%, due 6/25/2034
|
481,159 | ||||
GSMS 2011-GC3 A3
|
$200,000 principal, 4.473%, due 3/10/2044
|
213,801 | ||||
JPMCC 07-FL1A A1
|
$4,391,776 principal, 0.617%, due 7/15/2019
|
4,193,496 | ||||
JPMCC 2011-C4 A3
|
$400,000 principal, 4.106%, due 7/15/2046
|
422,160 | ||||
LBUBS 2007-C7 A3
|
$1,500,000 principal, 5.866%, due 9/15/2045
|
1,645,211 | ||||
NCUA GTD NTS MA
|
$3,775,000 principal, 1.4%, due 6/12/2015
|
3,824,037 | ||||
PERMM 2010-1A 1A
|
$4,800,000 principal, 1.717%, due 7/15/2042
|
4,782,390 | ||||
RFCO
|
$200,000 principal, 0.0%, due 4/15/2029
|
114,479 | ||||
RFCO SP
|
$5,700,000 principal, 0.0%, due 1/15/2030
|
3,269,395 | ||||
RFCO SP
|
$2,470,000 principal, 0.0%, due 4/15/2030
|
1,403,123 | ||||
SBAP 1993-20F 1
|
$71,927 principal, 6.65%, due 6/1/2013
|
74,235 | ||||
SBAP 1998-20D
|
$174,388 principal, 6.15%, due 4/1/2018
|
189,586 | ||||
SBAP 2007-20D 1
|
$520,030 principal, 5.32%, due 4/1/2027
|
580,791 | ||||
TVA
|
$200,000 principal, 4.7%, due 7/15/2033
|
235,514 | ||||
TVA
|
$400,000 principal, 4.875%, due 1/15/2048
|
490,634 | ||||
TVA
|
$4,400,000 principal, 5.25%, due 9/15/2039
|
5,674,064 | ||||
TVA
|
$100,000 principal, 5.375%, due 4/1/2056
|
135,034 | ||||
TVA
|
$1,000,000 principal, 5.88%, due 4/1/2036
|
1,361,222 | ||||
US TBILL
|
$3,300,000 principal, 0.0%, due 4/19/2012
|
3,299,828 | ||||
USTB
|
$2,500,000 principal, 3.5%, due 2/15/2039
|
2,806,640 | ||||
USTB
|
$700,000 principal, 3.875%, due 8/15/2040
|
837,266 | ||||
USTB
|
$16,300,000 principal, 4.25%, due 11/15/2040
|
20,741,750 | ||||
USTB
|
$2,400,000 principal, 4.375%, due 11/15/2039
|
3,109,874 | ||||
USTB
|
$1,600,000 principal, 4.375%, due 5/15/2040
|
2,074,000 | ||||
USTB
|
$1,400,000 principal, 4.375%, due 5/15/2041
|
1,820,000 | ||||
USTB
|
$5,800,000 principal, 4.5%, due 8/15/2039
|
7,655,095 | ||||
USTB
|
$200,000 principal, 4.5%, due 8/15/2039
|
275,594 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
USTB
|
$1,100,000 principal, 5.25%, due 11/15/2028
|
$ | 1,567,157 | |||
USTBILL
|
$40,000 principal, 0%, due 2/02/2012
|
40,000 | ||||
USTBILL
|
$10,000 principal, 0%, due 3/01/2012
|
10,000 | ||||
USTBILL
|
$272,000 principal, 0%, due 3/08/2012
|
271,991 | ||||
USTBILL
|
$1,280,000 principal, 0%, due 3/15/2012
|
1,279,955 | ||||
USTBILL
|
$6,200,000 principal, 0%, due 3/22/2012
|
6,199,764 | ||||
USTBILL
|
$7,100,000 principal, 0%, due 3/29/2012
|
7,099,744 | ||||
USTBILL
|
$10,500,000 principal, 0%, due 4/05/2012
|
10,499,528 | ||||
USTBILL
|
$800,000 principal, 0%, due 4/26/2012
|
799,937 | ||||
USTBILL
|
$16,800,000 principal, 0%, due 5/17/2012
|
16,797,950 | ||||
USTBILL
|
$900,000 principal, 0%, due 6/07/2012
|
899,825 | ||||
USTBILL
|
$12,400,000 principal, 0%, due 6/14/2012
|
12,397,334 | ||||
USTBILL
|
$7,800,000 principal, 0%, due 6/21/2012
|
7,798,089 | ||||
USTBILL
|
$5,700,000 principal, 0%, due 6/28/2012
|
5,698,319 | ||||
USTBILL
|
$10,400,000 principal, 0%, due 8/23/2012
|
10,395,289 | ||||
USTCOUP
|
$100,000 principal, 0%, due 11/15/2032
|
53,905 | ||||
USTCOUP
|
$400,000 principal, 0%, due 11/15/2032
|
174,419 | ||||
USTCOUP
|
$1,300,000 principal, 0%, due 11/15/2038
|
738,776 | ||||
USTCOUP
|
$2,900,000 principal, 0%, due 5/15/2032
|
1,590,082 | ||||
USTCOUP
|
$200,000 principal, 0%, due 5/15/2033
|
105,825 | ||||
USTCOUP
|
$4,300,000 principal, 0%, due 5/15/2034
|
2,191,009 | ||||
USTCOUP
|
$950,000 principal, 0%, due 8/15/2032
|
516,064 | ||||
USTN
|
$22,000,000 principal, 0.625%, due 7/15/2014
|
22,171,864 | ||||
USTN
|
$5,000,000 principal, 0.75%, due 3/31/2013
|
5,035,545 | ||||
USTN
|
$6,985,000 principal, 0.75%, due 5/31/2012
|
7,005,194 | ||||
USTN
|
$5,100,000 principal, 0.875%, due 1/31/2012
|
5,103,188 | ||||
USTN
|
$9,150,000 principal, 0.875%, due 2/29/2012
|
9,162,151 | ||||
USTN
|
$2,500,000 principal, 0.625%, due 7/31/2012
|
2,507,813 | ||||
USTN
|
$6,500,000 principal, 0.75%, due 12/15/2013
|
6,563,225 | ||||
USTN
|
$20,000,000 principal, 1%, due 10/31/2016
|
20,200,000 | ||||
USTN
|
$4,275,000 principal, 1%, due 4/30/2012
|
4,288,359 | ||||
USTN
|
$20,000,000 principal, 1.25%, due 4/15/2014
|
20,437,500 | ||||
USTN
|
$25,000,000 principal, 1.375%, due 1/15/2013
|
25,310,550 | ||||
USTN
|
$3,800,000 principal, 1.375%, due 11/30/2015
|
3,916,671 | ||||
USTN
|
$16,140,000 principal, 1.75%, due 3/31/2014
|
16,670,861 | ||||
USTN
|
$3,600,000 principal, 1.875%, due 7/15/2019
|
4,498,141 | ||||
USTN
|
$25,750,000 principal, 2%, due 1/31/2016
|
27,174,284 | ||||
USTN
|
$750,000 principal, 2%, due 11/15/2021
|
758,204 | ||||
USTN
|
$26,950,000 principal, 2%, due 4/30/2016
|
28,465,937 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
||||||
USTN
|
$7,825,000 principal, 2.125%, due 8/15/2021
|
$ | 8,021,846 | |||
USTN
|
$6,025,000 principal, 2.25%, due 3/31/2016
|
6,427,922 | ||||
USTN
|
$15,000,000 principal, 3.5%, due 5/31/2013
|
15,693,165 | ||||
USTN
|
$2,500,000 principal, 4.875%, due 2/15/2012
|
2,514,160 | ||||
USTN TII
|
$15,250,000 principal, 0.5%, due 4/15/2015
|
16,660,234 | ||||
USTN TII
|
$9,200,000 principal, 0.625%, due 4/15/2013
|
10,026,207 | ||||
USTN TII
|
$9,715,000 principal, 0.125%, due 4/15/2016
|
10,395,263 | ||||
USTN TII
|
$1,850,000 principal, 0.625%, due 07/15/2021
|
1,989,182 | ||||
USTN TII
|
$9,775,000 principal, 1.125%, due 1/15/2201
|
11,284,385 | ||||
USTN TII
|
$8,600,000 principal, 1.25%, due 4/15/2014
|
9,639,486 | ||||
USTN TII
|
$9,350,000 principal, 1.25%, due 7/15/2020
|
10,979,895 | ||||
USTN TII
|
$8,800,000 principal, 1.375%, due 1/15/2020
|
10,489,632 | ||||
USTN TII
|
$5,775,000 principal, 1.625%, due 1/15/2015
|
7,380,776 | ||||
USTN TII
|
$6,475,000 principal, 1.625%, due 1/15/2018
|
7,972,393 | ||||
USTN TII
|
$7,250,000 principal, 1.75%, due 1/15/2028
|
9,413,921 | ||||
USTN TII
|
$14,750,000 principal, 2.125%, due 1/15/2019
|
18,493,735 | ||||
USTN TII
|
$4,325,000 principal, 2%, due 1/15/2014
|
5,611,175 | ||||
USTN TII
|
$6,225,000 principal, 2%, due 1/15/2026
|
8,724,731 | ||||
USTN TII
|
$4,850,000 principal, 2.125%, due 2/15/2040
|
6,816,084 | ||||
USTN TII
|
$2,375,000 principal, 2%, due 7/15/2014
|
3,073,464 | ||||
USTN TII
|
$4,325,000 principal, 2.125%, due 2/15/2041
|
6,043,835 | ||||
USTN TII
|
$3,975,000 principal, 2.375%, due 1/15/2017
|
5,179,144 | ||||
USTN TII
|
$3,075,000 principal, 2.375%, due 1/15/2025
|
4,697,892 | ||||
USTN TII
|
$2,200,000 principal, 2.375%, due 1/15/2027
|
3,189,876 | ||||
USTN TII
|
$11,625,000 principal, 2.5%, due 1/15/2029
|
16,355,055 | ||||
USTN TII
|
$2,725,000 principal, 2.625%, due 7/15/2017
|
3,544,006 | ||||
USTN TII
|
$475,000 principal, 3.625%, due 4/15/2028
|
989,849 | ||||
USTN TII
|
$4,350,000 principal, 3.875%, due 4/15/2029
|
9,332,407 | ||||
USTPRIN
|
$1,400,000 principal, 0%, due 11/15/2024
|
1,024,982 | ||||
USTPRIN
|
$2,900,000 principal, 0%, due 11/15/2027
|
1,902,806 | ||||
USTPRIN
|
$1,100,000 principal, 0%, due 11/15/2028
|
697,423 | ||||
USTPRIN
|
$1,200,000 principal, 0%, due 2/15/2031
|
709,042 | ||||
USTPRIN
|
$11,800,000 principal, 0%, due 2/15/2041
|
4,845,528 | ||||
USTPRIN
|
$3,800,000 principal, 0%, due 8/15/2028
|
2,432,376 | ||||
USTPRIN
|
$1,600,000 principal, 0%, due 8/15/2029
|
989,864 | ||||
WFCM 10-C1 A2 144A
|
$100,000 principal, 4.393%, due 10/15/2057
|
107,725 | ||||
1,473,360,372 | ||||||
*
|
HEWLETT-PACKARD COMPANY
|
21,790,323 shares
|
561,318,720 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
State and municipal bonds
|
||||||
AMERICAN MUN OH
|
$700,000 principal, 7.834%, due 2/15/2041
|
$ | 966,651 | |||
AMERICAN MUN OH
|
$300,000 principal, 8.084%, due 2/15/2050
|
418,716 | ||||
BAB PASADENA PF TAXM
|
$100,000 principal, 7.148%, due 3/1/2043
|
131,169 | ||||
BATA CA
|
$300,000 principal, 6.907%, due 10/01/2050
|
390,702 | ||||
BATA CA
|
$700,000 principal, 7.043%, due 04/01/2050
|
921,018 | ||||
CA ST
|
$18,320,000 principal, 3.95%, due 11/01/2015
|
19,207,054 | ||||
CA ST
|
$4,250,000 principal, 3.95%, due 11/01/2015
|
4,636,198 | ||||
CA ST
|
$600,000 principal, 6.2%, due 10/1/2019
|
683,898 | ||||
CA ST
|
$1,450,000 principal, 7.3%, due 10/01/2039
|
1,714,524 | ||||
CA ST
|
$2,025,000 principal, 7.5%, due 4/1/2034
|
2,429,696 | ||||
CA ST
|
$4,825,000 principal, 7.55%, due 4/1/2039
|
5,899,624 | ||||
CA ST
|
$1,100,000 principal, 7.625%, due 03/01/2040
|
1,353,385 | ||||
CA ST AMBAC
|
$1,00,000 principal, 4.5%, due 08/01/2028
|
101,264 | ||||
CA ST GO
|
$525,000 principal, 7.6%, due 11/01/2040
|
648,222 | ||||
CA ST UNIV REV
|
$1,00,000 principal, 6.484%, due 11/1/2041
|
113,457 | ||||
CHICAGO IL TR AU ST
|
$100,000 principal, 6.2%, due 12/1/2040
|
109,537 | ||||
CT ST
|
$100,000 principal, 5.85%, due 3/15/2032
|
122,413 | ||||
DALLAS TX DART
|
$100,000 principal, 5.022%, due 12/1/2048
|
113,133 | ||||
DALLAS TX DART
|
$100,000 principal, 6.249%, due 12/1/2034
|
111,875 | ||||
GA MEAG
|
$700,000 principal, 6.655%, due 4/1/2057
|
719,572 | ||||
HAMILTON OH SLS
|
$100,000 principal, 0%, due 12/01/2028
|
43,250 | ||||
HARRIS CNTY TX
|
$300,000 principal, 6.875%, due 11/1/2038
|
345,366 | ||||
IA TOBACCO 05B 0
|
$100,000 principal, 5.6%, due 6/01/2034
|
82,039 | ||||
IL ST
|
$5,000,000 principal, 4.071%, due 01/01/2014
|
5,133,800 | ||||
IL ST
|
$9,185,000 principal, 4.511%, due 3/01/2015
|
9,537,796 | ||||
IL ST
|
$3,500,000 principal, 5.365%, due 03/01/2017
|
3,691,870 | ||||
IL ST
|
$2,125,000 principal, 5.665%, due 03/01/2018
|
2,261,595 | ||||
INDIANAPOLIS
|
$100,000 principal, 6.004%, due 1/15/2040
|
117,991 | ||||
LA CA USD
|
$1,800,000 principal, 6.758%, due 07/01/2034
|
2,233,872 | ||||
MI ST UNIV
|
$100,000 principal, 6.173%, due 2/15/2050
|
122,011 | ||||
MUNICIPAL EC AT GA
|
$300,000 principal, 6.637%, due 4/1/2057
|
311,832 | ||||
MWAA DULLES TOL
|
$100,000 principal, 7.462%, due 10/1/2046
|
108,917 | ||||
NEW YORK NY TAXM
|
$300,000 principal, 6.271%, due 12/1/2037
|
369,882 | ||||
NJ TOBACCO 1A
|
$150,000 principal, 5%, due 6/1/2041
|
107,772 | ||||
NJ TPK
|
$2,650,000 principal, 7.102%, due 01/01/2041
|
3,628,009 | ||||
NJ TRANS BAB
|
$200,000 principal, 6.875%, due 12/15/2039
|
222,996 | ||||
NO CA PWR
|
$100,000 principal, 7.311%, due 6/1/2040
|
115,066 | ||||
NY CITY MUNWTR VAR
|
$100,000 principal, 6.124%, due 6/15/2042
|
108,134 | ||||
NY CITY MWFAWSR TAXM
|
$100,000 principal, 5.44%, due 6/15/2043
|
114,153 |
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
State and municipal bonds (continued)
|
||||||
NY MTA TRANSP
|
$1,100,000 principal, 6.814%, due 11/15/2040
|
$ | 1,380,104 | |||
NYC TFA (PIT)
|
$100,000 principal, 5.267%, due 5/1/2027
|
111,500 | ||||
NYC WTR
|
$400,000 principal, 5.25%, due 06/15/2044
|
442,412 | ||||
NYC WTR
|
$900,000 principal, 5.724%, due 6/15/2042
|
1,080,711 | ||||
RIVSIDE CA ELEC
|
$100,000 principal, 7.605%, due 10/1/2040
|
133,257 | ||||
RIVSIDE CA SWR
|
$800,000 principal, 7.2%, due 8/1/2039
|
942,912 | ||||
SAN ANTONIO E&G
|
$100,000 principal, 5.718%, due 2/1/2041
|
122,946 | ||||
SAN DIEGO CTY
|
$100,000 principal, 6.138%, due 05/01/2049
|
125,748 | ||||
STOCKTON CA
|
$100,000 principal, 7.942%, due 10/1/2038
|
108,863 | ||||
TX TRANSP HWY
|
$200,000 principal, 5.028%, due 4/01/2026
|
231,058 | ||||
UNIV CA REV
|
$3,340,000 principal, 0.887%, due 07/01/2013
|
3,345,778 | ||||
77,473,748 | ||||||
Foreign obligations
|
||||||
BANCO BRAD 144A
|
$800,000 principal, 1.955%, due 1/24/2013
|
806,122 | ||||
BRAZIL GOVT
|
$500,000 principal, 5.875%, due 1/15/2019
|
592,500 | ||||
CANADA-GOVT
|
$1,080,126 principal, 5%, due 6/1/2037
|
1,578,452 | ||||
COLOMBIA REP GL
|
$100,000 principal, 6.125%, due 1/18/2041
|
123,250 | ||||
ISRAEL GLBL
|
$800,000 principal, 5.5%, due 12/4/2023
|
1,019,612 | ||||
ISRAEL GOVT
|
$1,300,000 principal, 0%, due 2/15/2024
|
901,592 | ||||
KOREA GOVT
|
$9,379,975 principal, 4%, due 6/10/2012
|
9,424,061 | ||||
KOREA REP GLB
|
$1,900,000 principal, 5.75%, due 4/16/2014
|
2,055,491 | ||||
MALAYSIA GOVT
|
$9,416,404 principal, 2.509%, due 8/27/2012
|
9,390,932 | ||||
MEXICO GOV
|
$100,000 principal, 6.05%, due 1/11/2040
|
122,250 | ||||
MEXICO GOVT
|
$8,276,781 principal, 9%, due 6/20/2013
|
8,780,010 | ||||
MOROCCO AID
|
$477,719 principal, 7.55%, due 7/15/2026
|
661,150 | ||||
NORWAY GOVT
|
$4,013,411 principal, 6.5%, due 5/15/2013
|
4,289,374 | ||||
ONTARIO PROV
|
$98,193 principal, 4.6%, due 6/2/2039
|
118,538 | ||||
QATAR ST 144A
|
$100,000 principal, 6.4%, due 1/20/2040
|
117,356 | ||||
QUEBEC PROVINCE
|
$342,773 principal, 4.25%, due 12/1/2043
|
448,123 | ||||
QUEBEC PROVINCE
|
$687,353 principal, 5.75%, due 12/1/2036
|
934,030 | ||||
UNITED MEX
|
$100,000 principal, 5.75 %, due 10/12/2110
|
106,500 | ||||
UNITED MEXICAN GLB
|
$200,000 principal, 5.95%, due 3/19/2019
|
237,700 | ||||
41,707,043 | ||||||
Traditional guaranteed investment contracts
|
||||||
PACIFIC LIFE INS CO
|
5.48% interest rate | 11,989,237 | ||||
Self-directed brokerage accounts
|
Various
|
276,737,017 | ||||
Total investments | $ | 13,717,114,451 | ||||
Hewlett-Packard Company 401(k) Plan
|
||||||||||||||
EIN: 94-1081436 PN: 004
|
||||||||||||||
Schedule H, Line 4i – Schedule of Assets (Held At End of Year) (continued)
|
||||||||||||||
December 31, 2011
|
||||||||||||||
(c)
|
||||||||||||||
Description of Investment,
|
||||||||||||||
(b) |
Including Maturity Date,
|
(e)
|
||||||||||||
Identity of Issue, Borrower,
|
Rate of Interest, Collateral,
|
Current
|
||||||||||||
(a)
|
Lessor, or Similar Party
|
Par, or Maturity Value
|
Value
|
Notes receivable from participants
|
||||||||
* | Participant loans |
Interest rates ranging from 3.25% to 11.5%
|
$ | 224,531,689 | ||||
With maturity dates through 2037
|
||||||||
Total
|
$ | 13,941,646,140 | ||||||
* Indicates party-in-interest to the Plan.
|
||||||||
Note: Column (d), cost, has been omitted as all investments are participant-directed.
|
HEWLETT-PACKARD COMPANY 401(k) PLAN
|
|||
/s/ David K. Ritenour | |||
June 27, 2012
|
David K. Ritenour
|
||
Vice President and
Associate General Counsel |
Exhibit Number | Description |
23.1 | Consent of Independent Registered Public Accounting Firm |