UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
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(Mark One)
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x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |
For the calendar year ended December 31, 2013
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|
OR
|
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o TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |
For the transition period from ____________ to ____________
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Commission File Number: 1-4423
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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
|
Report of Independent Registered Public Accounting Firm
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1
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|
Audited Financial Statements:
|
||
Statements of Net Assets Available for Benefits
|
2
|
|
Statement of Changes in Net Assets Available for Benefits
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3
|
|
Notes to Financial Statements
|
4
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|
Supplemental Schedule:
|
||
Schedule H, Line 4i – Schedule of Assets (Held at End of Year)
|
23
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|
Signature
|
84
|
|
Exhibit Index:
|
||
Exhibit 23.1 – Consent of Independent Registered Public Accounting Firm
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|
/s/ ERNST & YOUNG LLP |
December 31,
|
||||||||
2013
|
2012
|
|||||||
Assets
|
||||||||
Cash
|
$ | 4,858,849 | $ | 1,331,574 | ||||
Investments, at fair value
|
16,569,462,156 | 14,378,110,605 | ||||||
Receivables:
|
||||||||
Notes receivable from participants
|
232,775,862 | 231,305,214 | ||||||
Due from broker for securities sold
|
49,588,607 | 52,601,724 | ||||||
Employer contributions
|
34,065,631 | 33,307,290 | ||||||
Participant contributions
|
17,698,111 | – | ||||||
Interest, dividends, and other receivables
|
29,115,422 | 24,687,770 | ||||||
Total receivables
|
363,243,633 | 341,901,998 | ||||||
Total assets
|
16,937,564,638 | 14,721,344,177 | ||||||
Liabilities
|
||||||||
Due to broker for securities purchased
|
99,758,061 | 102,852,757 | ||||||
Administrative expenses and other payables
|
8,903,323 | 8,642,165 | ||||||
Total liabilities
|
108,661,384 | 111,494,922 | ||||||
Net assets available for benefits
|
$ | 16,828,903,254 | $ | 14,609,849,255 |
Additions
|
||||
Investment income:
|
||||
Net realized and unrealized appreciation in fair value of investments
|
$ | 2,686,434,745 | ||
Interest and dividends
|
257,718,984 | |||
Total investment income
|
2,944,153,729 | |||
Contributions:
|
||||
Participants
|
595,638,815 | |||
Employer
|
237,299,764 | |||
Rollovers
|
92,551,764 | |||
Total contributions
|
925,490,343 | |||
Interest income on notes receivable from participants
|
10,324,045 | |||
Total additions
|
3,879,968,117 | |||
Deductions
|
||||
Benefits paid directly to participants
|
1,622,977,973 | |||
Investment management fees
|
31,914,217 | |||
Administrative expenses
|
6,021,928 | |||
Total deductions
|
1,660,914,118 | |||
Net increase
|
2,219,053,999 | |||
Net assets available for benefits:
|
||||
Beginning of year
|
14,609,849,255 | |||
End of year
|
$ | 16,828,903,254 |
December 31,
|
||||||||||
2013
|
2012
|
|||||||||
Vanguard Primecap Adm Fund
|
$ | 995,731,119 | $ | 791,309,708 | ||||||
Blackrock Russell 1000 Index Fund
|
1,814,207,474 | 1,412,553,246 |
Mutual funds
|
$ | 365,874,442 | ||||
Common collective trust funds
|
694,131,914 | |||||
Partnership interest
|
1,963,195 | |||||
Exchange-traded funds
|
634,750 | |||||
HP Common Stock
|
279,844,862 | |||||
Common and preferred stock
|
1,452,087,324 | |||||
Corporate debt
|
(28,759,153 | ) | ||||
Foreign obligations
|
(1,522,432 | ) | ||||
U.S. government securities
|
(76,909,416 | ) | ||||
Derivatives
|
(910,741 | ) | ||||
Total net realized and unrealized change in fair value of investments
|
$ | 2,686,434,745 |
As of December 31, 2013
|
||||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||||
Assets
|
||||||||||||||
Mutual funds:
|
||||||||||||||
Growth funds
|
$ | 1,523,863,755 | $ | 46,438,288 | $ | 1,570,302,043 | ||||||||
Fixed-income funds
|
332,190,087 | 346,655,176 | 678,845,263 | |||||||||||
Other funds
|
85,232,628 | – | 85,232,628 | |||||||||||
Total mutual funds
|
1,941,286,470 | 393,093,464 | 2,334,379,934 | |||||||||||
Self-directed brokerage accounts:
|
||||||||||||||
Mutual funds:
|
||||||||||||||
Index funds
|
32,814,824 | – | 32,814,824 | |||||||||||
Growth funds
|
121,380,963 | – | 121,380,963 | |||||||||||
Fixed-income funds
|
126,321,159 | – | 126,321,159 | |||||||||||
Value funds
|
60,265,104 | – | 60,265,104 | |||||||||||
Industry-specific funds
|
45,002,247 | – | 45,002,247 | |||||||||||
Other funds
|
30,217,558 | – | 30,217,558 | |||||||||||
Total self-directed brokerage accounts
|
416,001,855 | – | 416,001,855 | |||||||||||
Common collective trusts:
|
||||||||||||||
Index funds
|
– | 3,411,678,026 | 3,411,678,026 | |||||||||||
Growth funds
|
– | 463,045,468 | 463,045,468 | |||||||||||
Total common collective trusts
|
– | 3,874,723,494 | 3,874,723,494 | |||||||||||
Partnership interest – Energy
|
– | 88,443,113 | 88,443,113 | |||||||||||
Exchange-traded funds – Growth funds
|
40,551,565 | – | 40,551,565 | |||||||||||
HP common stock
|
523,810,222 | – | 523,810,222 | |||||||||||
Repurchase agreements
|
– | 50,700,000 | 50,700,000 | |||||||||||
Short-term investments
|
– | 782,798,953 | 782,798,953 |
As of December 31, 2013
|
||||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||||
Common and preferred stocks:
|
||||||||||||||
Basic materials
|
$ | 193,335,715 | $ | – | $ | 193,335,715 | ||||||||
Communications
|
812,793,291 | – | 812,793,291 | |||||||||||
Consumer goods
|
1,767,137,201 | – | 1,767,137,201 | |||||||||||
Diversified
|
13,784,762 | – | 13,784,762 | |||||||||||
Energy
|
422,746,802 | – | 422,746,802 | |||||||||||
Financial
|
1,442,857,173 | – | 1,442,857,173 | |||||||||||
Industrial
|
738,274,517 | – | 738,274,517 | |||||||||||
Technology
|
501,683,378 | – | 501,683,378 | |||||||||||
Utilities
|
89,878,234 | – | 89,878,234 | |||||||||||
Total common and preferred stocks
|
5,982,491,073 | – | 5,982,491,073 | |||||||||||
Corporate debt:
|
||||||||||||||
Basic materials
|
– | 41,326,753 | 41,326,753 | |||||||||||
Communications
|
– | 185,786,466 | 185,786,466 | |||||||||||
Consumer goods
|
– | 199,577,750 | 199,577,750 | |||||||||||
Energy
|
– | 116,085,214 | 116,085,214 | |||||||||||
Financial
|
– | 310,359,382 | 310,359,382 | |||||||||||
Industrial
|
– | 85,665,347 | 85,665,347 | |||||||||||
Technology
|
– | 33,698,583 | 33,698,583 | |||||||||||
Utilities
|
– | 19,434,171 | 19,434,171 | |||||||||||
Total corporate debt
|
– | 991,933,666 | 991,933,666 | |||||||||||
Foreign obligations
|
– | 28,070,651 | 28,070,651 | |||||||||||
U.S. government securities:
|
||||||||||||||
Federal
|
– | 1,412,017,122 | 1,412,017,122 | |||||||||||
Municipal
|
– | 44,321,695 | 44,321,695 | |||||||||||
Total U.S. government securities
|
– | 1,456,338,817 | 1,456,338,817 | |||||||||||
Derivative assets
|
1,926,015 | 2,653,218 | 4,579,233 | |||||||||||
Total assets
|
$ | 8,906,067,200 | $ | 7,668,755,376 | $ | 16,574,822,576 | ||||||||
Liabilities
|
||||||||||||||
Derivative liabilities
|
$ | 2,281,919 | $ | 3,078,501 | $ | 5,360,420 | ||||||||
Total liabilities
|
$ | 2,218,919 | $ | 3,078,501 | $ | 5,360,420 |
As of December 31, 2012
|
||||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||||
Assets
|
||||||||||||||
Mutual funds:
|
||||||||||||||
Growth funds
|
$ | 1,379,900,602 | $ | 48,860,262 | $ | 1,428,760,864 | ||||||||
Fixed-income funds
|
768,264,035 | 367,753,165 | 1,136,017,200 | |||||||||||
Other funds
|
74,759,010 | – | 74,759,010 | |||||||||||
Total mutual funds
|
2,222,923,647 | 416,613,427 | 2,639,537,074 | |||||||||||
Self-directed brokerage accounts:
|
||||||||||||||
Mutual funds:
|
||||||||||||||
Index funds
|
21,147,249 | – | 21,147,249 | |||||||||||
Growth funds
|
87,158,551 | – | 87,158,551 | |||||||||||
Fixed-income funds
|
128,968,357 | – | 128,968,357 | |||||||||||
Value funds
|
43,701,578 | – | 43,701,578 | |||||||||||
Industry-specific funds
|
23,671,745 | – | 23,671,745 | |||||||||||
Other funds
|
24,920,257 | – | 24,920,257 | |||||||||||
Total self-directed brokerage accounts
|
329,567,737 | – | 329,567,737 | |||||||||||
Common collective trusts:
|
||||||||||||||
Index funds
|
– | 2,759,473,097 | 2,759,473,097 | |||||||||||
Growth funds
|
– | 473,009,996 | 473,009,996 | |||||||||||
Total common collective trusts
|
– | 3,232,483,093 | 3,232,483,093 | |||||||||||
Partnership interest – Energy
|
– | 75,235,189 | 75,235,189 | |||||||||||
HP common stock
|
297,897,889 | – | 297,897,889 | |||||||||||
Repurchase agreements
|
– | 123,700,000 | 123,700,000 | |||||||||||
Money market funds
|
– | 1,125,693 | 1,125,693 | |||||||||||
Short-term investments
|
– | 582,113,192 | 582,113,192 |
As of December 31, 2012
|
||||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||||
Common and preferred stocks:
|
||||||||||||||
Basic materials
|
$ | 167,321,954 | $ | – | $ | 167,321,954 | ||||||||
Communications
|
533,057,769 | – | 533,057,769 | |||||||||||
Consumer goods
|
1,328,526,375 | – | 1,328,526,375 | |||||||||||
Diversified
|
11,733,070 | – | 11,733,070 | |||||||||||
Energy
|
327,426,704 | – | 327,426,704 | |||||||||||
Financial
|
1,216,465,673 | – | 1,216,465,673 | |||||||||||
Industrial
|
560,182,748 | – | 560,182,748 | |||||||||||
Technology
|
460,367,259 | – | 460,367,259 | |||||||||||
Utilities
|
64,263,201 | – | 64,263,201 | |||||||||||
Total common and preferred stocks
|
4,669,344,753 | – | 4,669,344,753 | |||||||||||
Corporate debt:
|
||||||||||||||
Basic materials
|
– | 28,558,232 | 28,558,232 | |||||||||||
Communications
|
– | 104,699,042 | 104,699,042 | |||||||||||
Consumer goods
|
– | 82,708,035 | 82,708,035 | |||||||||||
Energy
|
– | 50,828,728 | 50,828,728 | |||||||||||
Financial
|
– | 439,769,482 | 439,769,482 | |||||||||||
Industrial
|
– | 58,171,836 | 58,171,836 | |||||||||||
Technology
|
– | 23,180,291 | 23,180,291 | |||||||||||
Utilities
|
– | 11,334,335 | 11,334,335 | |||||||||||
Total corporate debt
|
– | 799,249,981 | 799,249,981 | |||||||||||
Foreign obligations
|
– | 26,957,038 | 26,957,038 | |||||||||||
U.S. government securities:
|
||||||||||||||
Federal
|
– | 1,518,758,402 | 1,518,758,402 | |||||||||||
Municipal
|
– | 84,332,071 | 84,332,071 | |||||||||||
Total U.S. government securities
|
– | 1,603,090,473 | 1,603,090,473 | |||||||||||
Derivative assets
|
90,185 | 1,152,243 | 1,242,428 | |||||||||||
Total assets measured at fair value
|
$ | 7,519,824,211 | $ | 6,861,720,329 | $ | 14,381,544,540 | ||||||||
Liabilities
|
||||||||||||||
Derivative liabilities
|
$ | 348,539 | $ | 3,085,396 | $ | 3,433,935 | ||||||||
Total liabilities measured at fair value
|
$ | 348,539 | $ | 3,085,396 | $ | 3,433,935 |
December 31, 2013
|
||||||||||||||
Assets
|
Liabilities
|
Notional
|
||||||||||||
Forward contracts
|
$ | 2,438,354 | $ | 1,570,478 | $ | 438,282,397 | ||||||||
Futures contracts
|
1,510,462 | 2,281,919 | 1,661,300,000 | |||||||||||
Interest rate swaps
|
430,237 | – | 15,114,529 | |||||||||||
Credit default swaps
|
170,680 | 1,037,794 | 22,793,000 | |||||||||||
Option contracts
|
29,500 | 470,229 | 1,375,800,000 | |||||||||||
$ | 4,579,233 | $ | 5,360,420 | $ | 3,513,289,926 |
December 31, 2012
|
||||||||||||||
Assets
|
Liabilities
|
Notional
|
||||||||||||
Forward contracts
|
$ | 1,084,896 | $ | 3,022,176 | $ | 319,816,791 | ||||||||
Futures contracts
|
– | 39,757 | 2,252,257 | |||||||||||
Interest rate swaps
|
67,347 | 63,220 | 23,016,042 | |||||||||||
Credit default swaps
|
55,468 | 201,399 | 24,893,000 | |||||||||||
Option contracts
|
34,717 | 107,383 | 123,200,000 | |||||||||||
$ | 1,242,428 | $ | 3,433,935 | $ | 493,178,090 |
Forward contracts
|
$ | (189,360 | ) | |||
Futures contracts
|
608,886 | |||||
Interest rate swaps
|
(804,066 | ) | ||||
Credit default swaps
|
(712,004 | ) | ||||
Option contracts
|
185,803 | |||||
Total
|
$ | (910,741 | ) |
Gross
|
Gross
|
Gross Amounts Not Offset
|
||||||||||||||||||||||||
Amount
|
Amount
|
Net Amount
|
Financial
|
Financial
|
Net
|
|||||||||||||||||||||
Recognized
|
Offset
|
Presented
|
Instruments
|
Collateral
|
Amount
|
|||||||||||||||||||||
December 31, 2013
|
||||||||||||||||||||||||||
Derivative assets
|
$ | 4,579,233 | $ | – | $ | 4,579,233 | $ | 1,785,015 | $ | – | $ | 2,794,218 | ||||||||||||||
Derivative liabilities
|
5,360,420 | – | 5,360,420 | 1,785,015 | 1,258,000 | 2,317,405 | ||||||||||||||||||||
Repurchase agreements
|
50,700,000 | – | 50,700,000 | – | – | 50,700,000 | ||||||||||||||||||||
December 31, 2012
|
||||||||||||||||||||||||||
Derivative assets
|
1,242,428 | – | 1,242,428 | 820,513 | 60,000 | 361,915 | ||||||||||||||||||||
Derivative liabilities
|
3,433,935 | – | 3,433,935 | 820,513 | 6,000 | 2,607,422 | ||||||||||||||||||||
Repurchase agreements
|
123,700,000 | – | 123,700,000 | – | – | 123,700,000 |
December 31,
|
||||||||||
2013
|
2012
|
|||||||||
Net assets available for benefits per the financial statements
|
$ | 16,828,903,254 | $ | 14,609,849,255 | ||||||
Benefits payable to participants at year-end
|
(4,421,513 | ) | – | |||||||
Net assets available for benefits per Form 5500
|
$ | 16,824,481,741 | $ | 14,609,849,255 |
Benefits paid to participants per financial statements
|
$ | 1,622,977,973 | ||||
Benefits payable to participants at December 31, 2013
|
4,421,513 | |||||
Total benefits paid to participants per the Form 5500
|
$ | 1,627,399,486 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year)
|
December 31, 2013 |
(c) | ||||||||||||
(b)
|
Description of Investment, Including |
(e)
|
||||||||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
||||||||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
|||||||||
Short-term investments
|
||||||||||||
VANGUARD PRIME MONEY MARKET FUND
|
481,352,512 |
shares
|
$ | 481,352,512 | ||||||||
DREYFUS GOVERNMENT PRIME CASH MANAGEMENT
|
301,446,441 |
shares
|
301,446,441 | |||||||||
Total short-term investments
|
$ | 782,798,953 | ||||||||||
Mutual funds
|
||||||||||||
DODGE & COX INTERNATIONAL STOCK FUND
|
12,270,740 |
shares
|
$ | 528,132,636 | ||||||||
HIGH YIELD PORTFOLIO INSTITUTIONAL CL
|
1,007,637 |
shares
|
7,728,574 | |||||||||
HIGHBRIDGE DYNAMIC COMM STRATEGIC FUND R5
|
7,241,515 |
shares
|
85,232,628 | |||||||||
PIMCO ASSET BACK SECS PORTFOLIO (UNLISTED)
|
3,377,324 |
shares
|
40,460,336 | |||||||||
PIMCO EMERGING MARKETS FUND INSTITUTIONAL CL
|
1,585,666 |
shares
|
15,761,519 | |||||||||
PIMCO INTERNATIONAL PORTFOLIO FUND (UNLISTED)
|
6,742,147 |
shares
|
30,676,769 | |||||||||
PIMCO INVESTMENT GRADE CORP PORTFOLIO (UNLISTED)
|
6,308,173 |
shares
|
66,172,733 | |||||||||
PIMCO MTG PORTFOLIO INSTITUTIONAL CL (UNLISTED)
|
9,671,540 |
shares
|
101,551,174 | |||||||||
PIMCO MUNI SECTR PORTFOLIO INSTITUTIONAL CL
|
486,168 |
shares
|
3,801,835 | |||||||||
PIMCO REAL RETURN BOND PORTFOLIO FUND INSTITUTIONAL CL
|
5,452,708 |
shares
|
48,201,936 | |||||||||
PIMCO REAL RETURN PORTFOLIO FUND I CL
|
30,281,685 |
shares
|
332,190,087 | |||||||||
PIMCO SHORT TERM PORTFOLIO INSTITUTIONAL CL
|
2,227,947 |
shares
|
21,232,331 | |||||||||
PIMCO US GOVERNMENT SECTOR PORTFOLIO INSTITUTIONAL
|
6,602,326 |
shares
|
57,506,257 | |||||||||
VANGUARD PRIMECAP ADMIRAL
|
10,401,453 |
shares
|
995,731,119 | |||||||||
Total mutual funds
|
$ | 2,334,379,934 | ||||||||||
Exchange-traded funds
|
||||||||||||
ISHARES MSCI EAFE ETF
|
62,857 |
shares
|
$ | 4,215,190 | ||||||||
ISHARES MSCI EMERGING MARKETS ETF
|
28,696 |
shares
|
1,198,632 | |||||||||
ISHARES RUSSELL 2000 GROWTH ETF
|
259,300 |
shares
|
35,137,743 | |||||||||
Total exchange-traded funds
|
$ | 40,551,565 | ||||||||||
Company common stock
|
||||||||||||
* |
HEWLETT-PACKARD COMPANY
|
18,720,880 |
shares
|
$ | 523,810,222 | |||||||
Common stock
|
||||||||||||
3D SYSTEMS CORP
|
13,300 |
shares
|
$ | 1,235,969 | ||||||||
3M CO
|
88,500 |
shares
|
12,412,125 | |||||||||
51JOB INC
|
5,930 |
shares
|
461,947 | |||||||||
A P MOLLER - MAERSK
|
162 |
shares
|
1,760,902 | |||||||||
AALBERTS INDUSTRIES
|
8,588 |
shares
|
274,249 | |||||||||
ABB LTD CHF
|
185,404 |
shares
|
4,894,907 | |||||||||
ABBOTT LABORATORIES
|
287,755 |
shares
|
11,029,649 | |||||||||
ABCAM
|
19,519 |
shares
|
158,732 | |||||||||
ABC-MART INC NPV
|
13,100 |
shares
|
572,708 | |||||||||
ABERDEEN ASSET MANAGEMENT PLC
|
244,902 |
shares
|
2,028,095 | |||||||||
ABIOMED INC
|
144,268 |
shares
|
3,857,726 | |||||||||
ABRIL EDUCACAO SA
|
17,900 |
shares
|
253,411 | |||||||||
ACADIA REALTY TRUST
|
16,669 |
shares
|
413,891 | |||||||||
ACCIONA SA
|
9,698 |
shares
|
558,121 | |||||||||
ACE LIMITED
|
38,741 |
shares
|
4,010,856 | |||||||||
ACI WORLDWIDE INC
|
112,750 |
shares
|
7,328,750 | |||||||||
ACTELION
|
24,925 |
shares
|
2,111,766 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
ACTIVIA PROPERTIES INC
|
132 |
shares
|
$ | 1,041,130 | ||||||
ADASTRIA HOLDINGS CO LTD
|
2,020 |
shares
|
73,128 | |||||||
ADECCO SA
|
4,137 |
shares
|
328,411 | |||||||
ADMIRAL GROUP ORD
|
12,587 |
shares
|
273,099 | |||||||
ADOBE SYSTEMS INC
|
422,973 |
shares
|
25,327,623 | |||||||
ADT CORP
|
287,773 |
shares
|
11,646,173 | |||||||
ADVANCED INFO SERVICES PUBLIC CO
|
65,600 |
shares
|
398,271 | |||||||
ADVANTECH
|
136,000 |
shares
|
942,305 | |||||||
ADVANTEST
|
37,200 |
shares
|
462,589 | |||||||
ADVISORY BOARD CO
|
120,225 |
shares
|
7,654,726 | |||||||
AEGON NV
|
700,871 |
shares
|
6,644,257 | |||||||
AEGON NV
|
176,792 |
shares
|
1,671,656 | |||||||
AEON FINANCIAL SERVICE CO LTD
|
68,900 |
shares
|
1,848,608 | |||||||
AEON THANA SINSA
|
19,900 |
shares
|
56,926 | |||||||
AERCAP HOLDINGS
|
704,600 |
shares
|
27,021,410 | |||||||
AES CORP
|
480,000 |
shares
|
6,964,800 | |||||||
AFFILIATED MANAGERS GROUP INC
|
27,010 |
shares
|
5,857,929 | |||||||
AFLAC INC
|
58,373 |
shares
|
3,899,316 | |||||||
AGCO CORP
|
165,600 |
shares
|
9,801,864 | |||||||
AGEAS
|
40,159 |
shares
|
1,712,683 | |||||||
AGGREKO ORD
|
231,333 |
shares
|
6,547,953 | |||||||
AGILE PROPERTY HLD
|
132,000 |
shares
|
141,470 | |||||||
AIA GROUP LTD
|
3,187,800 |
shares
|
15,992,961 | |||||||
AIR FRANCE-KLM
|
1,065,700 |
shares
|
11,160,543 | |||||||
AIR.WATER INC
|
14,000 |
shares
|
189,677 | |||||||
AIRBUS GROUP NV
|
41,498 |
shares
|
3,191,337 | |||||||
AISIN SEIKI CO
|
30,700 |
shares
|
1,247,219 | |||||||
AIXTRON SE
|
138,705 |
shares
|
2,009,717 | |||||||
AJISEN (CHINA) HOLDINGS LTD
|
461,963 |
shares
|
477,826 | |||||||
ALCATEL LUCENT
|
291,231 |
shares
|
1,307,441 | |||||||
ALEXANDRIA REAL ESTATE EQUITIES
|
14,770 |
shares
|
939,667 | |||||||
ALEXION PHARMACEUTICALS INC
|
95,624 |
shares
|
12,723,729 | |||||||
ALFA LAVAL AB
|
208,742 |
shares
|
5,362,693 | |||||||
ALIGN TECHNOLOGY INC
|
61,000 |
shares
|
3,486,150 | |||||||
ALIMENTATION COUCHE-TARD INC
|
9,653 |
shares
|
725,724 | |||||||
ALL AMERICA LATINA LOGISTICA
|
78,100 |
shares
|
217,161 | |||||||
ALLEGIANT TRAVEL CO
|
44,451 |
shares
|
4,686,913 | |||||||
ALLEGION PLC
|
20,133 |
shares
|
889,677 | |||||||
ALLERGAN INC
|
238,183 |
shares
|
26,457,368 | |||||||
ALLIANZ SE
|
33,223 |
shares
|
5,967,375 | |||||||
ALLSCRIPTS HEALTHCARE SOLUTION
|
466,300 |
shares
|
7,208,998 | |||||||
ALLSTATE CORP
|
177,597 |
shares
|
9,686,140 | |||||||
ALNYLAM PHARMACEUTICALS INC
|
61,000 |
shares
|
3,924,130 | |||||||
ALS LTD
|
94,291 |
shares
|
743,189 | |||||||
ALSTRIA OFFICE REIT
|
15,953 |
shares
|
201,183 | |||||||
ALTAREA
|
462 |
shares
|
81,486 | |||||||
ALUPAR INVESTIMENTO
|
40,000 |
shares
|
275,511 | |||||||
AMADA
|
66,000 |
shares
|
582,104 | |||||||
AMADEUS FIRE AG
|
8,260 |
shares
|
621,450 | |||||||
AMADEUS IT HLD SA
|
123,583 |
shares
|
5,296,908 | |||||||
AMAZON.COM INC
|
71,979 |
shares
|
28,704,505 | |||||||
AMDOCS LTD COM
|
190,000 |
shares
|
7,835,600 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
AMEC ORD
|
44,565 |
shares
|
$ | 803,061 | ||||||
AMERICAN AXLE & MANUFACTURING
|
133,500 |
shares
|
2,730,075 | |||||||
AMERICAN CAMPUS COMMUNITIES
|
231,140 |
shares
|
7,445,019 | |||||||
AMERICAN EXPRESS CO
|
154,548 |
shares
|
14,022,140 | |||||||
AMERICAN FINANCIAL GROUP INC
|
84,500 |
shares
|
4,877,340 | |||||||
AMERICAN HOMES 4 RENT
|
21,900 |
shares
|
354,780 | |||||||
AMERICAN INTERNATIONAL GROUP I
|
285,900 |
shares
|
14,595,195 | |||||||
AMERICAN NATIONAL INSURANCE CO
|
47,745 |
shares
|
5,468,712 | |||||||
AMERICAN TOWER CORP
|
113,006 |
shares
|
9,020,139 | |||||||
AMERIPRISE FINANCIAL INC
|
50,000 |
shares
|
5,752,500 | |||||||
AMGEN INC
|
57,800 |
shares
|
6,598,448 | |||||||
AMLIN ORD
|
90,513 |
shares
|
687,947 | |||||||
AMTRUST FINANCIAL SERVICES INC
|
68,365 |
shares
|
2,234,852 | |||||||
ANADARKO PETROLEUM CORP
|
64,667 |
shares
|
5,129,386 | |||||||
ANHANGUERA EDUCACIONAL
|
88,800 |
shares
|
560,822 | |||||||
ANN INC
|
78,100 |
shares
|
2,855,336 | |||||||
ANNIE'S INC
|
107,400 |
shares
|
4,622,496 | |||||||
ANSELL LTD NPV
|
37,328 |
shares
|
690,285 | |||||||
AOL INC
|
50,000 |
shares
|
2,331,000 | |||||||
AON CORP
|
206,400 |
shares
|
17,314,896 | |||||||
AP MOLLER MAERSK
|
112 |
shares
|
1,156,388 | |||||||
APACHE CORP
|
194,200 |
shares
|
16,689,548 | |||||||
APARTMENT INVESTMENT & MANAGEMENT
|
4,729 |
shares
|
122,528 | |||||||
APOLLO GLOBAL MANAGEMENT LLC
|
250,550 |
shares
|
7,919,886 | |||||||
APPLE INC
|
76,051 |
shares
|
42,672,977 | |||||||
ARCA CONTINENTAL
|
44,528 |
shares
|
277,596 | |||||||
ARCELIK
|
20,420 |
shares
|
115,477 | |||||||
ARCH CAPITAL GROUP LTD
|
96,390 |
shares
|
5,753,519 | |||||||
ARCOS DORADOS HOLDINGS INC
|
23,671 |
shares
|
286,893 | |||||||
ARM HOLDINGS ORD
|
831,000 |
shares
|
15,126,018 | |||||||
ARM HOLDINGS PLC
|
132,052 |
shares
|
7,228,526 | |||||||
ARRIS GROUP INC
|
188,900 |
shares
|
4,602,549 | |||||||
ARROW ELECTRONICS INC
|
65,300 |
shares
|
3,542,525 | |||||||
ARYZTA AG
|
18,797 |
shares
|
1,445,679 | |||||||
ASAHI GLASS CO
|
98,000 |
shares
|
609,790 | |||||||
ASAHI KASEI CORP
|
33,000 |
shares
|
258,713 | |||||||
ASBURY AUTOMOTIVE GROUP INC
|
34,600 |
shares
|
1,859,404 | |||||||
ASCENDAS INDIA TRUST UNITS NPV
|
1,192,000 |
shares
|
641,977 | |||||||
ASCENDAS REAL ESTATE INV TRUST
|
541,300 |
shares
|
943,181 | |||||||
ASHFORD HOSPITALITY PRIME INC
|
6,358 |
shares
|
115,716 | |||||||
ASHFORD HOSPITALITY TRUST INC
|
31,790 |
shares
|
263,221 | |||||||
ASM INTERNATIONAL
|
12,516 |
shares
|
413,052 | |||||||
ASPEN TECHNOLOGY INC
|
151,300 |
shares
|
6,324,340 | |||||||
ASSA ABLOY SER B
|
8,338 |
shares
|
441,138 | |||||||
ASSOCIATED BRITISH FOODS PLC
|
8,162 |
shares
|
330,523 | |||||||
ASSURED GUARANTY LTD
|
117,400 |
shares
|
2,769,466 | |||||||
ASTELLAS PHARMA INC
|
43,900 |
shares
|
2,602,131 | |||||||
ASTRAZENECA ORD
|
27,924 |
shares
|
1,653,175 | |||||||
ASTRAZENECA PLC
|
91,772 |
shares
|
5,448,504 | |||||||
ASTRO MALAYSIA HLD
|
1,212,841 |
shares
|
1,110,830 | |||||||
ASUSTEK COMPUTER INC
|
65,000 |
shares
|
584,495 | |||||||
ASYA KATILIM BANKASI
|
412,574 |
shares
|
278,442 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
AT&T INC
|
404,197 |
shares
|
$ | 14,211,567 | ||||||
ATHENA HEALTH INC
|
15,466 |
shares
|
2,080,177 | |||||||
ATLAS COP
|
653,240 |
shares
|
18,134,820 | |||||||
ATMEL CORP
|
358,600 |
shares
|
2,807,838 | |||||||
ATOS
|
10,006 |
shares
|
907,097 | |||||||
ATRIUM EUROPEAN REAL ESTATE
|
50,638 |
shares
|
291,666 | |||||||
ATRIUM LJUNGBERG
|
17,708 |
shares
|
242,628 | |||||||
AUCKLAND INTERNATIONAL AIRPORT
|
92,675 |
shares
|
269,255 | |||||||
AUSTBROKERS HOLDINGS LIMITED
|
14,014 |
shares
|
150,452 | |||||||
AUTOGRILL SPA
|
52,861 |
shares
|
447,236 | |||||||
AVALONBAY COMMUNITIES INC
|
64,460 |
shares
|
7,621,106 | |||||||
AVEVA GROUP
|
4,645 |
shares
|
166,483 | |||||||
AVIS BUDGET GROUP INC
|
265,000 |
shares
|
10,711,300 | |||||||
AVON PRODUCTS INC
|
217,500 |
shares
|
3,745,350 | |||||||
AXA
|
89,601 |
shares
|
2,495,242 | |||||||
B/E AEROSPACE INC
|
38,300 |
shares
|
3,333,249 | |||||||
BAE SYSTEMS
|
415,109 |
shares
|
2,990,731 | |||||||
BAIDU INC
|
151,000 |
shares
|
26,859,880 | |||||||
BAKER HUGHES INC
|
259,900 |
shares
|
14,362,074 | |||||||
BAKKAFROST
|
28,470 |
shares
|
445,808 | |||||||
BALLY TECHNOLOGIES INC
|
63,200 |
shares
|
4,958,040 | |||||||
BANCA MONTE DEI PASCHI DI
|
2,301,011 |
shares
|
556,137 | |||||||
BANCO DE SABADELL
|
616,369 |
shares
|
1,610,321 | |||||||
BANCO POPOLARE SOC COOPERATIVA
|
258,210 |
shares
|
495,986 | |||||||
BANCO POPULAR ESPANOL
|
1,778,092 |
shares
|
10,743,784 | |||||||
BANCO SANTANDER
|
907,952 |
shares
|
8,139,738 | |||||||
BANCORPSOUTH INC
|
146,100 |
shares
|
3,713,862 | |||||||
BANK HAPOALIM
|
114,378 |
shares
|
640,925 | |||||||
BANK LEUMI LE ISRAEL B M ORD
|
220,722 |
shares
|
901,711 | |||||||
BANK OF AMERICA CORP
|
2,026,195 |
shares
|
31,547,856 | |||||||
BANK OF CHINA LTD
|
1,744,000 |
shares
|
802,977 | |||||||
BANK OF NEW YORK MELLON CORP
|
943,100 |
shares
|
32,951,914 | |||||||
BB&T CORP
|
135,000 |
shares
|
5,038,200 | |||||||
BEACON ROOFING SUPPLY INC
|
160,100 |
shares
|
6,448,828 | |||||||
BEIERSDORF
|
9,469 |
shares
|
960,841 | |||||||
BELGACOM
|
20,014 |
shares
|
593,071 | |||||||
BELLE INTERNATIONAL HOLDINGS
|
1,155,000 |
shares
|
1,336,173 | |||||||
BELLWAY
|
95,562 |
shares
|
2,484,911 | |||||||
BENI STABILI SPA
|
447,364 |
shares
|
302,058 | |||||||
BERKSHIRE HATHAWAY INC
|
104,210 |
shares
|
12,355,138 | |||||||
BEZEQ-ISRAELI TELECOMMUNICATIONS
|
213,245 |
shares
|
361,552 | |||||||
BIC
|
1,710 |
shares
|
209,852 | |||||||
BIM BIRLESIK MAGAZALAR
|
113,954 |
shares
|
2,301,887 | |||||||
BIOGEN IDEC INC
|
68,763 |
shares
|
19,236,449 | |||||||
BIOMED REALTY TRUST INC
|
80,800 |
shares
|
1,464,096 | |||||||
BLACKBAUD INC
|
108,095 |
shares
|
4,069,777 | |||||||
BLACKBERRY LIMITED
|
146,320 |
shares
|
1,087,932 | |||||||
BLACKSTONE GROUP LP
|
142,922 |
shares
|
4,502,043 | |||||||
BM&F BOVESPA SA BOLSA DE
|
866,100 |
shares
|
4,060,217 | |||||||
BOARDWALK REAL ESTATE INVT
|
29,476 |
shares
|
1,660,366 | |||||||
BOEING CO
|
211,279 |
shares
|
28,837,471 | |||||||
BOLSA MEXICANA DE VALORES SAB
|
155,704 |
shares
|
355,819 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
BOMBARDIER INC
|
228,752 |
shares
|
$ | 992,515 | ||||||
BOOKER GROUP PLC
|
281,357 |
shares
|
757,246 | |||||||
BOSTON PROPERTIES INC
|
63,000 |
shares
|
6,323,310 | |||||||
BOSTON SCIENTIFIC CORP
|
314,500 |
shares
|
3,780,290 | |||||||
BOUYGUES
|
40,544 |
shares
|
1,531,890 | |||||||
BR MALLS PARTICIPACOES SA COM
|
57,900 |
shares
|
418,436 | |||||||
BR PROPERTIES SA
|
41,600 |
shares
|
327,969 | |||||||
BRAMBLES LTD NPV
|
417,989 |
shares
|
3,421,678 | |||||||
BRANDYWINE REALTY TRUST
|
86,800 |
shares
|
1,223,012 | |||||||
BRASIL BROKERS PARTICIPACOES
|
106,900 |
shares
|
265,069 | |||||||
BRASIL INSURANCE PARTICIPACO
|
44,400 |
shares
|
343,457 | |||||||
BRASIL PHARMA
|
82,000 |
shares
|
234,956 | |||||||
BRE PROPERTIES INC
|
38,571 |
shares
|
2,110,219 | |||||||
BRENNTAG
|
5,982 |
shares
|
1,110,730 | |||||||
BRIDGESTONE CO
|
43,000 |
shares
|
1,628,276 | |||||||
BRISTOL-MYERS SQUIBB CO
|
297,452 |
shares
|
15,809,574 | |||||||
BRITISH AMERICAN TOBACCO
|
83,913 |
shares
|
4,500,202 | |||||||
BRITISH LAND
|
399,397 |
shares
|
4,160,843 | |||||||
BRITISH SKY BROADCASTING
|
107,501 |
shares
|
1,502,730 | |||||||
BRITVIC
|
44,862 |
shares
|
514,546 | |||||||
BRIXMOR PROPERTY GROUP INC
|
49,500 |
shares
|
1,006,335 | |||||||
BROADRIDGE FINANCIAL SOLUTIONS
|
466,450 |
shares
|
18,434,104 | |||||||
BROOKDALE SENIOR LIVING INC
|
178,000 |
shares
|
4,838,040 | |||||||
BROOKFIELD CANADA OFFICE PROPERTIES
|
18,902 |
shares
|
473,217 | |||||||
BROOKFIELD OFFICE PROPERTIES
|
46,996 |
shares
|
904,673 | |||||||
BROTHER INDUSTRIES LTD
|
82,000 |
shares
|
1,121,107 | |||||||
BROWN SHOE CO INC
|
75,030 |
shares
|
2,111,344 | |||||||
BRUNEL INTERNATIONAL
|
5,241 |
shares
|
321,299 | |||||||
BRUNSWICK CORP
|
79,400 |
shares
|
3,657,164 | |||||||
BT GROUP
|
682,215 |
shares
|
4,286,911 | |||||||
BT GROUP
|
11,843 |
shares
|
747,649 | |||||||
BUNZL
|
212,508 |
shares
|
5,103,512 | |||||||
BURBERRY GROUP
|
17,453 |
shares
|
438,223 | |||||||
BURCKHARDT COMPRESSION HOLDING
|
1,153 |
shares
|
506,913 | |||||||
CABCHARGE AUSTRALIA LTD
|
85,127 |
shares
|
303,874 | |||||||
CABELA'S INC
|
105,475 |
shares
|
7,030,964 | |||||||
CADENCE DESIGN SYSTEMS INC
|
140,000 |
shares
|
1,962,800 | |||||||
CAE INC
|
34,565 |
shares
|
439,504 | |||||||
CAIRN ENERGY PLC
|
60,999 |
shares
|
272,578 | |||||||
CAIXABANK
|
81,010 |
shares
|
422,846 | |||||||
CALLOWAY REIT
|
38,384 |
shares
|
908,933 | |||||||
CAMDEN PROPERTY TRUST
|
35,119 |
shares
|
1,997,569 | |||||||
CAMERON INTERNATIONAL CORP
|
31,830 |
shares
|
1,894,840 | |||||||
CAMPARI
|
44,052 |
shares
|
369,065 | |||||||
CANADIAN APARTMENT PPTYS REIT
|
3,448 |
shares
|
68,960 | |||||||
CANADIAN OIL SANDS LTD
|
24,280 |
shares
|
456,578 | |||||||
CANADIAN PACIFIC RAILWAY LTD
|
120,965 |
shares
|
18,304,424 | |||||||
CANADIAN REIT
|
7,300 |
shares
|
297,977 | |||||||
CANADIAN TIRE CORP LTD
|
15,612 |
shares
|
1,461,871 | |||||||
CANADIAN WESTERN BANK
|
12,859 |
shares
|
467,886 | |||||||
CANON INC
|
75,700 |
shares
|
2,398,373 | |||||||
CAP GEMINI
|
29,162 |
shares
|
1,974,229 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
CAPITA PLC
|
60,663 |
shares
|
$ | 1,042,911 | ||||||
CAPITACOMMERCIAL T REIT
|
1,649,000 |
shares
|
1,893,751 | |||||||
CAPITAL & COUNTIES PROPERTIES
|
65,903 |
shares
|
359,328 | |||||||
CAPITAL & REG PROPS
|
381,313 |
shares
|
277,882 | |||||||
CAPITAL ONE FINANCIAL CORP
|
315,000 |
shares
|
24,132,150 | |||||||
CAPITALAND
|
555,053 |
shares
|
1,332,022 | |||||||
CAPITAMALL TRUST
|
382,000 |
shares
|
576,358 | |||||||
CAPITAMALLS ASIA LTD
|
714,700 |
shares
|
1,109,466 | |||||||
CARLSBERG A/S
|
5,220 |
shares
|
578,490 | |||||||
CARMAX INC
|
60,000 |
shares
|
2,821,200 | |||||||
CARNIVAL CORP
|
180,100 |
shares
|
7,234,617 | |||||||
CARPENTER TECHNOLOGY CORP
|
120,350 |
shares
|
7,485,770 | |||||||
CASTELLUM
|
75,087 |
shares
|
1,170,275 | |||||||
CATAMARAN CORP
|
9,665 |
shares
|
458,917 | |||||||
CATERPILLAR INC
|
46,383 |
shares
|
4,212,040 | |||||||
CATHAY PACIFIC AIRWAYS
|
355,000 |
shares
|
750,862 | |||||||
CATLIN GROUP
|
121,279 |
shares
|
1,166,041 | |||||||
CBL & ASSOCIATES PROPERTIES
|
9,350 |
shares
|
167,926 | |||||||
CDW CORP
|
145,180 |
shares
|
3,391,405 | |||||||
CELANESE CORP
|
321,600 |
shares
|
17,787,696 | |||||||
CELESTICA INC
|
386,243 |
shares
|
4,016,927 | |||||||
CELGENE CORP
|
169,636 |
shares
|
28,661,699 | |||||||
CELLDEX THERAPEUTICS INC
|
132,050 |
shares
|
3,196,931 | |||||||
CELLTRION INC
|
91,393 |
shares
|
3,321,096 | |||||||
CENTENE CORP
|
151,100 |
shares
|
8,907,345 | |||||||
CENTRAL JAPAN RY
|
3,800 |
shares
|
447,590 | |||||||
CEPHEID INC
|
104,500 |
shares
|
4,882,240 | |||||||
CETIP SA - MERCADOS
|
39,100 |
shares
|
401,068 | |||||||
CF INDUSTRIES HOLDINGS INC
|
13,769 |
shares
|
3,208,728 | |||||||
CFS RETAIL PROPERTY TRUST
|
227,557 |
shares
|
395,971 | |||||||
CGI GROUP INC
|
20,584 |
shares
|
688,523 | |||||||
CHARLES RIVER LABORATORIES INT
|
50,400 |
shares
|
2,673,216 | |||||||
CHARLES SCHWAB CORP
|
838,900 |
shares
|
21,811,400 | |||||||
CHEMTURA CORP
|
136,200 |
shares
|
3,802,704 | |||||||
CHESAPEAKE ENERGY CORP
|
627,000 |
shares
|
17,016,780 | |||||||
CHEUNG KONG HOLDINGS LTD
|
1,300,000 |
shares
|
20,553,000 | |||||||
CHEVRON CORP
|
268,220 |
shares
|
33,503,360 | |||||||
CHIBA BANK
|
87,000 |
shares
|
586,870 | |||||||
CHICAGO BRIDGE & IRON CO
|
120,895 |
shares
|
10,051,210 | |||||||
CHINA CONSTRUCTION BANK CORP
|
8,166,000 |
shares
|
6,161,032 | |||||||
CHINA LIFE INSURANCE CO LTD
|
557,000 |
shares
|
1,742,028 | |||||||
CHINA MOBILE LTD
|
157,000 |
shares
|
1,627,961 | |||||||
CHINA OVERSEAS LAND & INVEST
|
367,500 |
shares
|
1,033,242 | |||||||
CHINA PACIFIC INSURANCE
|
332,600 |
shares
|
1,304,019 | |||||||
CHINA RESOURCES LAND LTD
|
432,000 |
shares
|
1,070,842 | |||||||
CHIPOTLE MEXICAN GRILL INC
|
12,094 |
shares
|
6,443,441 | |||||||
CHRISTIAN DIOR
|
9,361 |
shares
|
1,771,676 | |||||||
CHRISTIAN HANSEN HOLDING
|
76,947 |
shares
|
3,061,337 | |||||||
CHROMA ATE INC
|
302,000 |
shares
|
633,315 | |||||||
CHUBU ELECTRIC POWER
|
113,800 |
shares
|
1,471,426 | |||||||
CHUGAI PHARMACEUTICAL
|
40,500 |
shares
|
895,890 | |||||||
CHUGOKU MAR PAINTS
|
19,000 |
shares
|
100,871 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
CI FINANCIAL INC
|
30,277 |
shares
|
$ | 1,007,334 | ||||||
CIA HERING COM NPV
|
33,100 |
shares
|
419,493 | |||||||
CIE FINANCIERE RICHEMONT SA
|
120,279 |
shares
|
12,009,642 | |||||||
CIENA CORP
|
81,600 |
shares
|
1,952,688 | |||||||
CIGNA CORPORATION
|
35,000 |
shares
|
3,061,800 | |||||||
CISCO SYSTEMS INC
|
338,900 |
shares
|
7,608,305 | |||||||
CITIC SECURITIES CO LTD
|
165,000 |
shares
|
450,073 | |||||||
CITIGROUP INC
|
185,589 |
shares
|
9,671,043 | |||||||
CITIZEN HOLDINGS CO
|
103,500 |
shares
|
872,470 | |||||||
CITY DEVELOPMENTS
|
69,000 |
shares
|
524,632 | |||||||
CJ HOME SHOPPING
|
1,476 |
shares
|
580,414 | |||||||
CLARCOR INC
|
73,000 |
shares
|
4,697,550 | |||||||
CLEAN HARBORS INC
|
293,100 |
shares
|
17,574,276 | |||||||
CME GROUP INC
|
93,980 |
shares
|
7,373,671 | |||||||
CNH INDUSTRIAL NV
|
69,524 |
shares
|
793,708 | |||||||
CNO FINANCIAL GROUP INC
|
193,800 |
shares
|
3,428,322 | |||||||
CNOOC LTD
|
1,316,000 |
shares
|
2,447,425 | |||||||
CNP ASSURANCES
|
51,711 |
shares
|
1,061,702 | |||||||
COACH INC
|
129,165 |
shares
|
7,250,031 | |||||||
COBHAM ORD
|
92,572 |
shares
|
420,870 | |||||||
COCA COLA HBC
|
12,446 |
shares
|
363,213 | |||||||
COCHLEAR LTD COM
|
33,446 |
shares
|
1,763,032 | |||||||
COEUR MINING INC
|
306,412 |
shares
|
3,324,570 | |||||||
COFINIMMO ORD NPV
|
673 |
shares
|
83,231 | |||||||
COGNIZANT TECHNOLOGY SOLUTIONS
|
7,877 |
shares
|
795,419 | |||||||
COLOPLAST-B
|
10,195 |
shares
|
676,014 | |||||||
COMCAST CORP
|
625,905 |
shares
|
32,418,193 | |||||||
COMMERCE BANCSHARES INC
|
1 |
shares
|
38 | |||||||
COMMERZBANK AG
|
139,337 |
shares
|
2,248,313 | |||||||
COMMONWEALTH PROPERTY OFFICE
|
519,798 |
shares
|
578,971 | |||||||
COMMONWEALTH REIT
|
174,900 |
shares
|
4,076,919 | |||||||
COMMVAULT SYSTEMS INC
|
75,400 |
shares
|
5,645,952 | |||||||
COMPAGNIE DE SAINT-GOBAIN
|
14,975 |
shares
|
824,876 | |||||||
COMPASS GROUP
|
78,440 |
shares
|
1,257,589 | |||||||
COMPUTER SCIENCES CORP
|
73,100 |
shares
|
4,084,828 | |||||||
COMPUTERSHARE
|
227,947 |
shares
|
2,320,755 | |||||||
CONCENTRADORA FIBRA DANHOS SA
|
177,100 |
shares
|
333,048 | |||||||
CONCENTRADORA FIBRA HOTELERA M
|
262,400 |
shares
|
418,729 | |||||||
CONCHO RESOURCES INC/ MIDLAND T
|
93,034 |
shares
|
10,047,672 | |||||||
CONOCOPHILLIPS
|
92,664 |
shares
|
6,546,712 | |||||||
CONSOL ENERGY INC
|
430,900 |
shares
|
16,391,436 | |||||||
CONTINENTAL
|
12,136 |
shares
|
2,665,615 | |||||||
CONTROLADORA VUELA CIA DE AVIA
|
41,080 |
shares
|
556,634 | |||||||
COPA HOLDINGS
|
3,089 |
shares
|
494,580 | |||||||
CORE LABORATORIES
|
31,512 |
shares
|
6,017,216 | |||||||
CORELOGIC INC
|
256,000 |
shares
|
9,095,680 | |||||||
CORIO
|
22,432 |
shares
|
1,006,899 | |||||||
CORNING INC
|
589,880 |
shares
|
10,511,662 | |||||||
CORPORATE EXECUTIVE BOARD CO
|
93,750 |
shares
|
7,259,063 | |||||||
COSMOS PHARMACEUTICAL CORP
|
3,900 |
shares
|
423,377 | |||||||
COSTAR GROUP INC
|
60,800 |
shares
|
11,222,464 | |||||||
COSTCO WHOLESALE CORP
|
117,353 |
shares
|
13,966,181 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
COUNTRY GARDEN HOLDINGS CO LTD
|
1,313,767 |
shares
|
$ | 792,962 | ||||||
COUSINS PROPERTIES INC
|
44,378 |
shares
|
457,093 | |||||||
COVIDIEN PLC
|
132,955 |
shares
|
9,054,236 | |||||||
CREDICORP LTD
|
55,686 |
shares
|
7,391,203 | |||||||
CREDIT AGRICOLE
|
98,135 |
shares
|
1,258,270 | |||||||
CRODA INTL
|
91,705 |
shares
|
3,731,849 | |||||||
CROMBIE REAL ESTATE INVESTMENT TRUST
|
19,870 |
shares
|
253,214 | |||||||
CROWN CASTLE INTERNATIONAL CORP
|
212,160 |
shares
|
15,578,909 | |||||||
CROWN RESORTS LTD
|
87,722 |
shares
|
1,322,396 | |||||||
CSL
|
58,152 |
shares
|
3,587,691 | |||||||
CTS EVENTIM
|
4,926 |
shares
|
249,858 | |||||||
CUBESMART
|
151,800 |
shares
|
2,419,692 | |||||||
CVS CAREMARK CORP
|
99,993 |
shares
|
7,156,499 | |||||||
D IETEREN
|
8,861 |
shares
|
442,003 | |||||||
DAI NIPPON PRINTING CO
|
48,000 |
shares
|
509,662 | |||||||
DAICEL CORP
|
53,000 |
shares
|
431,645 | |||||||
DAI-ICHI LIFE INSURANCE CO LTD
|
135,600 |
shares
|
2,266,773 | |||||||
DAIICHI SANKYO COMPANY LIMITED
|
94,000 |
shares
|
1,719,823 | |||||||
DAIKIN INDUSTRIES
|
21,400 |
shares
|
1,333,619 | |||||||
DAINIPPON SUMITOMO PHARMA CO
|
23,800 |
shares
|
372,494 | |||||||
DAIRY FARM INTERNATIONAL HOLDINGS
|
58,791 |
shares
|
558,515 | |||||||
DAISEKI CO LTD
|
25,300 |
shares
|
495,385 | |||||||
DAIWA SECS GROUP
|
86,000 |
shares
|
859,141 | |||||||
DARLING INTERNATIONAL INC
|
425,200 |
shares
|
8,878,176 | |||||||
DASSAULT SYSTEMES
|
6,248 |
shares
|
776,829 | |||||||
DCC
|
16,690 |
shares
|
820,715 | |||||||
DCT INDUSTRIAL TRUST INC
|
107,219 |
shares
|
764,471 | |||||||
DDR CORP
|
355,607 |
shares
|
5,465,680 | |||||||
DELHAIZE GROUP
|
32,858 |
shares
|
1,955,953 | |||||||
DELHAIZE GROUP
|
5,602 |
shares
|
332,871 | |||||||
DELTA AIR LINES INC
|
123,028 |
shares
|
3,379,579 | |||||||
DELTICOM AG
|
1,543 |
shares
|
68,038 | |||||||
DELUXE CORP
|
85,400 |
shares
|
4,457,026 | |||||||
DENBURY RESOURCES INC
|
275,000 |
shares
|
4,518,250 | |||||||
DENKI KAGAKU KOGYO
|
249,000 |
shares
|
1,028,172 | |||||||
DENSO CORPORATION
|
29,700 |
shares
|
1,568,289 | |||||||
DERWENT LONDON PLC
|
67,765 |
shares
|
2,800,283 | |||||||
DEUTSCH-CW20 MOTHERSON SUM
|
162,733 |
shares
|
763,088 | |||||||
DEUTSCH-CW21 MOIL LTD
|
141,773 |
shares
|
554,843 | |||||||
DEUTSCHE ANNINGTON IMMOBILIEN
|
9,589 |
shares
|
237,837 | |||||||
DEUTSCHE BOERSE
|
32,974 |
shares
|
2,735,279 | |||||||
DEUTSCHE EUROSHOP
|
7,405 |
shares
|
324,733 | |||||||
DEUTSCHE LUFTHANSA
|
119,248 |
shares
|
2,533,780 | |||||||
DEUTSCHE POST
|
121,473 |
shares
|
4,435,669 | |||||||
DEUTSCHE TELEKOM
|
256,603 |
shares
|
4,395,075 | |||||||
DEUTSCHE WOHNEN
|
28,436 |
shares
|
528,780 | |||||||
DEUTSCHE WOHNEN
|
41,349 |
shares
|
799,670 | |||||||
DEUTSCHE-CW17 THERMAX LIMITED
|
25,497 |
shares
|
293,394 | |||||||
DEXUS PROPERTY GROUP
|
2,406,999 |
shares
|
2,164,189 | |||||||
DIAGEO
|
224,286 |
shares
|
7,429,474 | |||||||
DIAMONDROCK HOSPITALITY CO
|
279,900 |
shares
|
3,232,845 | |||||||
DIGITALGLOBE INC
|
260,000 |
shares
|
10,699,000 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
DIGNITY PLC
|
61,586 |
shares
|
$ | 1,468,826 | ||||||
DINEEQUITY INC
|
73,490 |
shares
|
6,140,090 | |||||||
DIRECTV
|
282,600 |
shares
|
19,524,834 | |||||||
DISCOVER FINANCIAL SERVICES
|
89,261 |
shares
|
4,994,153 | |||||||
DISCOVERY COMMUNICATIONS INC
|
111,642 |
shares
|
10,094,670 | |||||||
DISH NETWORK CORP
|
97,000 |
shares
|
5,618,240 | |||||||
DISTRIBUIDORA INTERNACIONAL DE
|
505,928 |
shares
|
4,531,433 | |||||||
DKSH HOLDING AG
|
1,806 |
shares
|
140,727 | |||||||
DNB ASA
|
24,108 |
shares
|
431,149 | |||||||
DOLLAR GENERAL CORP
|
33,593 |
shares
|
2,026,330 | |||||||
DOLLARAMA INC
|
17,613 |
shares
|
1,462,252 | |||||||
DOMINO PRINTING SCIENCES PLC
|
42,788 |
shares
|
542,137 | |||||||
DOMINOS PIZZA GROUP PLC
|
110,659 |
shares
|
940,221 | |||||||
DOMTAR CORP
|
10,000 |
shares
|
943,400 | |||||||
DOUGLAS EMMETT INC
|
64,800 |
shares
|
1,509,192 | |||||||
DOW CHEMICAL CO
|
116,500 |
shares
|
5,172,600 | |||||||
DR HORTON INC
|
171,500 |
shares
|
3,827,880 | |||||||
DSV DKK1
|
51,428 |
shares
|
1,688,905 | |||||||
DUKE REALTY CORP
|
184,480 |
shares
|
2,774,579 | |||||||
DUNKIN' BRANDS GROUP INC
|
300,436 |
shares
|
14,481,015 | |||||||
DYCOM INDUSTRIES INC
|
91,400 |
shares
|
2,540,006 | |||||||
E.ON SE
|
158,233 |
shares
|
2,924,969 | |||||||
EAST JAPAN RAILWAY CO
|
28,400 |
shares
|
2,264,326 | |||||||
EATON CORP PLC
|
30,401 |
shares
|
2,314,124 | |||||||
EBAY INC
|
426,691 |
shares
|
23,421,069 | |||||||
ECHO ENTERTAINMENT GROUP LTD
|
78,076 |
shares
|
171,833 | |||||||
EDENRED
|
10,781 |
shares
|
361,439 | |||||||
EISAI CO
|
35,800 |
shares
|
1,387,993 | |||||||
ELECTROCOMPONENTS ORD
|
51,358 |
shares
|
237,407 | |||||||
ELECTROLUX AB
|
29,526 |
shares
|
774,629 | |||||||
ELEKTA
|
222,200 |
shares
|
3,402,574 | |||||||
ELEMENTIS PLC
|
129,132 |
shares
|
575,110 | |||||||
ELLIE MAE INC
|
50,400 |
shares
|
1,354,248 | |||||||
ELRINGKLINGER
|
9,595 |
shares
|
390,958 | |||||||
E-MART CO LTD
|
1,440 |
shares
|
363,633 | |||||||
EMC CORP
|
158,475 |
shares
|
3,985,646 | |||||||
EMCOR GROUP INC
|
90,400 |
shares
|
3,836,576 | |||||||
EMERSON ELECTRIC CO
|
55,700 |
shares
|
3,909,026 | |||||||
EMLAK KONUT GAYRIMENKUL YATIRI
|
446,127 |
shares
|
436,056 | |||||||
ENAGAS SA
|
18,006 |
shares
|
471,292 | |||||||
ENEL
|
429,530 |
shares
|
1,878,598 | |||||||
ENERGIAS DO BRASIL
|
87,400 |
shares
|
420,468 | |||||||
ENERSYS
|
49,500 |
shares
|
3,469,455 | |||||||
ENKA INSAAT TRY1
|
296,532 |
shares
|
830,869 | |||||||
ENTERGY CORP
|
96,200 |
shares
|
6,086,574 | |||||||
EOG RESOURCES INC
|
149,381 |
shares
|
25,072,107 | |||||||
EPL OIL & GAS INC
|
129,000 |
shares
|
3,676,500 | |||||||
EQT CORP
|
63,100 |
shares
|
5,665,118 | |||||||
EQUITY LIFESTYLE PROPERTIES IN
|
31,082 |
shares
|
1,126,101 | |||||||
EQUITY RESIDENTIAL
|
244,948 |
shares
|
12,705,453 | |||||||
ERICSSON
|
404,906 |
shares
|
4,956,049 | |||||||
ERICSSON (L.M.)
|
274,205 |
shares
|
3,351,461 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
ESPRIT HLDGS
|
121,908 |
shares
|
$ | 234,894 | ||||||
ESSENTRA PLC
|
41,109 |
shares
|
584,865 | |||||||
ESSEX PROPERTY TRUST INC
|
10,823 |
shares
|
1,553,209 | |||||||
ESSILOR INTERNATIONAL
|
26,794 |
shares
|
2,853,239 | |||||||
ESTACIO PARTICIPACOES
|
60,300 |
shares
|
521,659 | |||||||
ESTEE LAUDER COS INC
|
138,509 |
shares
|
10,432,498 | |||||||
ESTERLINE TECHNOLOGIES CORP
|
55,890 |
shares
|
5,698,544 | |||||||
EUROCOMMERCIAL
|
32,373 |
shares
|
1,376,614 | |||||||
EUTELSAT COMMUNICATIONS
|
18,892 |
shares
|
590,021 | |||||||
EXELON CORP
|
179,100 |
shares
|
4,905,549 | |||||||
EXOR SPA
|
28,826 |
shares
|
1,148,328 | |||||||
EXPEDITORS INTERNATIONAL OF WASHINGTON
|
103,719 |
shares
|
4,589,566 | |||||||
EXPRESS INC
|
76,000 |
shares
|
1,418,920 | |||||||
EXPRESS SCRIPTS HOLDING CO
|
140,000 |
shares
|
9,833,600 | |||||||
EXTENDED STAY AMERICA INC
|
17,800 |
shares
|
467,428 | |||||||
EXTENDICARE INC
|
18,990 |
shares
|
121,893 | |||||||
EXXON MOBIL CORP
|
234,516 |
shares
|
23,733,019 | |||||||
FABEGE AB
|
7,950 |
shares
|
95,064 | |||||||
FACEBOOK INC
|
279,372 |
shares
|
15,270,474 | |||||||
FAIRCHILD SEMICONDUCTOR INTERNATIONAL
|
213,100 |
shares
|
2,844,885 | |||||||
FAIVELEY TRANSPORT
|
1,254 |
shares
|
90,579 | |||||||
FAMILYMART
|
10,800 |
shares
|
493,735 | |||||||
FANUC CORP
|
15,700 |
shares
|
2,875,458 | |||||||
FEDERAL REALTY INVESTMENT TRUST
|
11,630 |
shares
|
1,179,398 | |||||||
FEDERATION CENTRES
|
919,976 |
shares
|
1,925,952 | |||||||
FEDEX CORP
|
268,200 |
shares
|
38,559,114 | |||||||
FERROVIAL
|
61,506 |
shares
|
1,192,040 | |||||||
FIAT SPA
|
1,579,136 |
shares
|
12,936,144 | |||||||
FIBRIA CELULOSE
|
29,900 |
shares
|
350,423 | |||||||
FIDELITY & GUARANTY LIFE
|
90,300 |
shares
|
1,710,282 | |||||||
FIDELITY NATIONAL FINANCIAL
|
84,100 |
shares
|
2,729,045 | |||||||
FIFTH THIRD BANCORP
|
255,400 |
shares
|
5,371,062 | |||||||
FINMECCANICA
|
27,991 |
shares
|
212,329 | |||||||
FINNING INTERNATIONAL INC
|
13,777 |
shares
|
352,043 | |||||||
FIREEYE INC
|
32,106 |
shares
|
1,400,143 | |||||||
FIRST BANCORP/PUERTO RICO
|
532,400 |
shares
|
3,295,556 | |||||||
FIRST CAPITAL REALTY INC
|
26,620 |
shares
|
443,708 | |||||||
FIRST HORIZON NATIONAL CORP
|
305,300 |
shares
|
3,556,745 | |||||||
FIRST NIAGARA FINANCIAL GROUP
|
418,400 |
shares
|
4,443,408 | |||||||
FIRST PACIFIC CO
|
259,600 |
shares
|
295,299 | |||||||
FISHER & PAYKEL
|
380,797 |
shares
|
1,206,648 | |||||||
FIVE BELOW INC
|
120,500 |
shares
|
5,205,600 | |||||||
FLEETCOR TECHNOLOGIES INC
|
56,359 |
shares
|
6,603,584 | |||||||
FLEURY
|
34,000 |
shares
|
265,169 | |||||||
FLIGHT CENTRE TRAVEL GROUP LTD
|
6,600 |
shares
|
280,768 | |||||||
FLOWSERVE CORP
|
122,800 |
shares
|
9,680,324 | |||||||
FMC TECHNOLOGIES INC
|
82,454 |
shares
|
4,304,923 | |||||||
FONCIERE DES REGIO
|
13,430 |
shares
|
1,161,243 | |||||||
FOOT LOCKER INC
|
204,900 |
shares
|
8,491,056 | |||||||
FORD OTOMOTIV SANAYI
|
64,096 |
shares
|
677,207 | |||||||
FOREST CITY ENTERPRISES INC
|
88,603 |
shares
|
1,692,317 | |||||||
FOREST LABORATORIES INC
|
60,000 |
shares
|
3,601,800 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
FORTESCUE METALS
|
1,742,448 |
shares
|
$ | 9,072,688 | ||||||
FORUM ENERGY TECHNOLOGIES INC
|
295,900 |
shares
|
8,362,134 | |||||||
FOXTONS GROUP
|
71,030 |
shares
|
391,164 | |||||||
FRAPORT
|
22,142 |
shares
|
1,659,470 | |||||||
FUGRO NV CVZ
|
6,263 |
shares
|
373,813 | |||||||
FUJI ELECTRIC CO LTD
|
325,000 |
shares
|
1,521,336 | |||||||
FUJI HEAVY LTD
|
71,000 |
shares
|
2,036,678 | |||||||
FUJIFILM HOLDINGS CORP
|
84,500 |
shares
|
2,396,599 | |||||||
FUJITSU
|
465,000 |
shares
|
2,406,736 | |||||||
FUKUOKA FINANCIAL GROUP INC
|
75,000 |
shares
|
328,957 | |||||||
FURUKAWA ELECTRIC CO LTD
|
245,000 |
shares
|
615,385 | |||||||
GALAXY ENTERTAINMENT GROUP LTD
|
388,000 |
shares
|
3,480,303 | |||||||
GANNETT CO INC
|
178,200 |
shares
|
5,271,156 | |||||||
GAS NAT SDG
|
64,804 |
shares
|
1,669,401 | |||||||
GAZPROM OAO
|
909,682 |
shares
|
7,868,749 | |||||||
GAZPROM OAO-SPON
|
50,107 |
shares
|
428,415 | |||||||
GEA GROUP
|
30,656 |
shares
|
1,461,588 | |||||||
GEBERIT
|
25,619 |
shares
|
7,792,140 | |||||||
GECINA
|
9,216 |
shares
|
1,219,503 | |||||||
GENERAL ELECTRIC CO
|
1,360,513 |
shares
|
38,135,179 | |||||||
GENERAL GROWTH PROPERTIES INC
|
346,926 |
shares
|
6,962,805 | |||||||
GENERAL MOTORS CO
|
262,100 |
shares
|
10,712,027 | |||||||
GENESEE & WYOMING INC
|
172,100 |
shares
|
16,530,205 | |||||||
GENOMMA LAB INTERNACIONAL
|
171,709 |
shares
|
480,103 | |||||||
GENTING SINGAPORE
|
534,000 |
shares
|
632,291 | |||||||
GENWORTH FINANCIAL INC
|
301,000 |
shares
|
4,674,530 | |||||||
GEOSPACE TECHNOLOGIES CORP
|
29,100 |
shares
|
2,759,553 | |||||||
GERRY WEBER INTERNATIONAL
|
13,485 |
shares
|
573,523 | |||||||
GET SA
|
134,227 |
shares
|
1,413,080 | |||||||
GILDAN ACTIVEWEAR INC
|
26,425 |
shares
|
1,407,924 | |||||||
GILEAD SCIENCES INC
|
275,507 |
shares
|
20,704,351 | |||||||
GJENSIDIGE FORSIKRING
|
38,173 |
shares
|
727,992 | |||||||
GKN ORD
|
214,366 |
shares
|
1,325,378 | |||||||
GLAXOSMITHKLINE ORD
|
138,684 |
shares
|
3,701,541 | |||||||
GLAXOSMITHKLINE PLC
|
355,088 |
shares
|
18,958,148 | |||||||
GLOBAL LOGISTIC PROPERTIES LTD
|
1,472,600 |
shares
|
3,370,675 | |||||||
GLOBAL PAYMENTS INC
|
126,600 |
shares
|
8,227,734 | |||||||
GLORY KOGYO
|
3,400 |
shares
|
88,150 | |||||||
GLOW ENERGY PCL
|
185,200 |
shares
|
397,340 | |||||||
GLP J-REIT
|
385 |
shares
|
376,557 | |||||||
GNC HOLDINGS INC
|
190,800 |
shares
|
11,152,260 | |||||||
GOLDMAN SACHS GROUP INC
|
178,810 |
shares
|
31,695,861 | |||||||
GOODMAN LTD
|
885,224 |
shares
|
3,745,998 | |||||||
GOOGLE INC
|
58,834 |
shares
|
65,935,852 | |||||||
GPT GROUP
|
397,825 |
shares
|
1,210,108 | |||||||
GRACO INC
|
138,752 |
shares
|
10,839,306 | |||||||
GRAHAM HOLDINGS CO
|
30,500 |
shares
|
20,231,260 | |||||||
GRAINGER PLC ORD
|
78,351 |
shares
|
264,469 | |||||||
GRAN TIERRA ENERGY INC
|
78,810 |
shares
|
574,849 | |||||||
GRAND CANYON EDUCATION INC
|
170,850 |
shares
|
7,449,060 | |||||||
GRANITE REAL ESTATE INVESTMENT
|
146,000 |
shares
|
5,327,540 | |||||||
GREAT PORTLAND ESTATES ORD
|
247,147 |
shares
|
2,451,930 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
GREAT WEST LIFECO INC
|
22,265 |
shares
|
$ | 686,286 | ||||||
GREE INC
|
170,900 |
shares
|
1,689,407 | |||||||
GRIFOLS
|
20,154 |
shares
|
727,962 | |||||||
GRIFOLS
|
60,309 |
shares
|
2,889,068 | |||||||
GUANGZHOU AUTOMOBILE GROUP CO
|
751,250 |
shares
|
821,615 | |||||||
GUANGZHOU R&F PROPERTIES
|
98,800 |
shares
|
144,497 | |||||||
GULFPORT ENERGY CORP
|
57,000 |
shares
|
3,599,550 | |||||||
HAEMONETICS CORP
|
163,600 |
shares
|
6,892,468 | |||||||
HAIN CELESTIAL GROUP INC
|
29,300 |
shares
|
2,659,854 | |||||||
HALMA ORD
|
49,113 |
shares
|
490,907 | |||||||
HAMMERSON ORD
|
428,859 |
shares
|
3,565,695 | |||||||
HANESBRANDS INC
|
225,500 |
shares
|
15,845,885 | |||||||
HANG LUNG PROPERTIES LTD
|
186,811 |
shares
|
590,278 | |||||||
HANNOVER RUECKVERSICHERUNG SE
|
9,630 |
shares
|
827,761 | |||||||
HARGREAVES LANSDOWN ORD
|
44,437 |
shares
|
996,528 | |||||||
HARVEY NORMAN HLDGS NPV
|
209,200 |
shares
|
591,428 | |||||||
HAVAS
|
77,997 |
shares
|
643,136 | |||||||
HB FULLER CO
|
55,900 |
shares
|
2,909,036 | |||||||
HCP INC
|
111,291 |
shares
|
4,042,089 | |||||||
HEALTH CARE REIT INC
|
83,840 |
shares
|
4,491,309 | |||||||
HEALTH NET INC
|
81,500 |
shares
|
2,418,105 | |||||||
HEALTHCARE REALTY TRUST INC
|
90,897 |
shares
|
1,937,015 | |||||||
HEALTHCARE TRUST OF AMERICA IN
|
54,000 |
shares
|
531,360 | |||||||
HEALTHSOUTH CORP
|
50,885 |
shares
|
1,695,488 | |||||||
HEARTLAND PAYMENT SYSTEMS INC
|
135,110 |
shares
|
6,733,882 | |||||||
HEARTWARE INTERNATIONAL INC
|
51,000 |
shares
|
4,791,960 | |||||||
HEIDELBERG CEMENT AG
|
77,396 |
shares
|
5,881,627 | |||||||
HELIX ENERGY SOLUTIONS GROUP I
|
117,300 |
shares
|
2,719,014 | |||||||
HENDERSON LAND DEVELOPMENT CO
|
106,241 |
shares
|
606,308 | |||||||
HENNES & MAURITZ AB
|
125,387 |
shares
|
5,782,647 | |||||||
HERTZ GLOBAL HOLDINGS INC
|
128,100 |
shares
|
3,666,222 | |||||||
HESS CORP
|
74,300 |
shares
|
6,166,900 | |||||||
HEXAGON AB
|
40,922 |
shares
|
1,295,339 | |||||||
HEXCEL CORP
|
74,600 |
shares
|
3,333,874 | |||||||
HIGHWOODS PROPERTIES INC
|
31,500 |
shares
|
1,139,355 | |||||||
HILTON WORLDWIDE HOLDINGS INC
|
74,800 |
shares
|
1,664,300 | |||||||
HIROSE ELECTRONICS
|
7,300 |
shares
|
1,040,426 | |||||||
HISAMITSU PHARM CO
|
3,500 |
shares
|
176,490 | |||||||
HISCOX
|
160,097 |
shares
|
1,842,867 | |||||||
HITACHI CHEMICAL CO LTD
|
37,000 |
shares
|
590,352 | |||||||
HITACHI HIGH TECHNOLOGIES CORP
|
25,600 |
shares
|
643,258 | |||||||
HITACHI METALS
|
40,000 |
shares
|
565,530 | |||||||
HITACHI
|
476,000 |
shares
|
3,604,928 | |||||||
HMS HOLDINGS CORP
|
197,900 |
shares
|
4,498,267 | |||||||
HOCHTIEF AG
|
11,419 |
shares
|
976,502 | |||||||
HOGY MEDICAL CO
|
1,800 |
shares
|
94,877 | |||||||
HONEYWELL INTERNATIONAL INC
|
112,151 |
shares
|
10,247,237 | |||||||
HONG KONG EXCHANGES & CLEARING
|
210,036 |
shares
|
3,502,519 | |||||||
HONG KONG LAND HOLDINGS LTD ORD
|
859,656 |
shares
|
5,071,970 | |||||||
HOPEWELL HOLDINGS
|
112,500 |
shares
|
380,864 | |||||||
HOST HOTELS & RESORTS INC
|
568,807 |
shares
|
11,057,608 | |||||||
HSBC HOLDINGS PLC
|
62,000 |
shares
|
3,418,060 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
HUDSON PACIFIC PROPERTIES INC
|
18,560 |
shares
|
$ | 405,907 | ||||||
HUFVUDSTADEN AB
|
94,322 |
shares
|
1,265,195 | |||||||
HULIC CO LTD
|
108,100 |
shares
|
1,599,310 | |||||||
HUNTINGTON BANCSHARES INC
|
374,700 |
shares
|
3,615,855 | |||||||
HURON CONSULTING GROUP INC
|
132,950 |
shares
|
8,338,624 | |||||||
HUSQVARNA AB SER B
|
330,349 |
shares
|
1,991,579 | |||||||
HUTCHISON WHAMPOA
|
129,000 |
shares
|
1,753,552 | |||||||
HYSAN DEVELOPMENT
|
699,851 |
shares
|
3,014,673 | |||||||
HYUNDAI HOME SHOPPING NETWORK
|
1,956 |
shares
|
344,735 | |||||||
IBIDEN CO
|
28,500 |
shares
|
533,095 | |||||||
ICADE NPV
|
21,389 |
shares
|
1,994,436 | |||||||
ICAP ORD
|
70,305 |
shares
|
525,855 | |||||||
IDEX CORP
|
107,600 |
shares
|
7,946,260 | |||||||
IG GROUP HOLDINGS PLC
|
81,107 |
shares
|
827,494 | |||||||
IGB REAL ESTATE INVESTMENT
|
613,700 |
shares
|
222,959 | |||||||
IGUATEMI EMPRESA SHOPPING COM
|
29,100 |
shares
|
275,058 | |||||||
IHI CORP
|
358,000 |
shares
|
1,546,377 | |||||||
IHS INC
|
41,250 |
shares
|
4,937,625 | |||||||
ILIAD NPV
|
3,367 |
shares
|
690,830 | |||||||
ILLINOIS TOOL WORKS INC
|
64,100 |
shares
|
5,389,528 | |||||||
ILLUMINA INC
|
105,101 |
shares
|
11,626,273 | |||||||
ILUKA RESOURCES LIMITED
|
75,671 |
shares
|
584,243 | |||||||
IMI ORD
|
24,137 |
shares
|
609,648 | |||||||
INDITEX
|
455,749 |
shares
|
15,048,832 | |||||||
INDUSTRIA DE DISENO TEXTIL
|
119,403 |
shares
|
19,710,857 | |||||||
INDUSTRIAL & COMMERCIAL BANK
|
4,090,000 |
shares
|
2,764,030 | |||||||
INDUSTRIAL ALLIANCE INS & FINL
|
9,151 |
shares
|
404,367 | |||||||
INDUSTRIVARDEN AB SER A NPV
|
15,810 |
shares
|
323,457 | |||||||
INDUSTRIVARDEN AB SER C NPV
|
63,487 |
shares
|
1,208,928 | |||||||
INFINEON TECHNOLOGIES ORD
|
61,257 |
shares
|
655,014 | |||||||
INFORMATICA CORP
|
134,700 |
shares
|
5,590,050 | |||||||
INGERSOLL-RAND PUBLIC LIMITED
|
60,400 |
shares
|
3,720,640 | |||||||
INGRAM MICRO INC
|
433,400 |
shares
|
10,167,564 | |||||||
INPEX CORPORATION
|
15,300 |
shares
|
196,227 | |||||||
INSURANCE AUSTRALIA GROUP PLC
|
68,225 |
shares
|
355,238 | |||||||
INTEGRATED DEVICE TECHNOLOGY I
|
376,800 |
shares
|
3,839,592 | |||||||
INTEL CORP
|
135,331 |
shares
|
3,513,193 | |||||||
INTERCONTINENTALEXCHANGE GROUP
|
49,779 |
shares
|
11,196,293 | |||||||
INTERNATIONAL CONSOLIDATED
|
385,853 |
shares
|
2,569,721 | |||||||
INTERNATIONAL PAPER CO
|
197,700 |
shares
|
9,693,231 | |||||||
INTERSIL CORP
|
242,500 |
shares
|
2,781,475 | |||||||
INTERTEK GROUP PLC ORD
|
26,904 |
shares
|
1,402,741 | |||||||
INTERVAL LEISURE GROUP INC
|
103,147 |
shares
|
3,187,242 | |||||||
INTESA SANPAOLO
|
487,531 |
shares
|
1,205,197 | |||||||
INTU PROPERTIES PLC
|
146,864 |
shares
|
753,812 | |||||||
INTUIT INC
|
137,805 |
shares
|
10,517,278 | |||||||
INVESCO LTD
|
242,209 |
shares
|
8,816,408 | |||||||
INVESTA OFFICE FUND
|
304,038 |
shares
|
851,384 | |||||||
INVESTMENT TECHNOLOGY GROUP IN
|
165,600 |
shares
|
3,404,736 | |||||||
IPG PHOTONICS CORP
|
90,500 |
shares
|
7,023,705 | |||||||
ISUZU MOTORS LTD
|
106,000 |
shares
|
659,569 | |||||||
ITAU UNIBANCO HOLDING SA
|
284,340 |
shares
|
3,858,494 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
ITOCHU CORP
|
131,100 |
shares
|
$ | 1,620,274 | ||||||
ITV ORD
|
277,342 |
shares
|
891,135 | |||||||
J2 GLOBAL INC
|
289,398 |
shares
|
14,472,794 | |||||||
JACK HENRY & ASSOCIATES INC
|
215,600 |
shares
|
12,765,676 | |||||||
JAMES HARDIE INDUSTRIES PLC
|
262,451 |
shares
|
3,038,335 | |||||||
JANUS CAPITAL GROUP INC
|
239,800 |
shares
|
2,966,326 | |||||||
JAPAN AIRLINES CO LTD
|
29,500 |
shares
|
1,456,686 | |||||||
JAPAN EXCHANGE GROUP INC
|
9,500 |
shares
|
270,163 | |||||||
JAPAN PETROLEUM EX NPV
|
11,100 |
shares
|
420,851 | |||||||
JAPAN PURE CHEM NPV
|
15 |
shares
|
30,755 | |||||||
JAPAN REAL ESTATE INVST CO
|
794 |
shares
|
4,260,654 | |||||||
JAPAN RETAIL FUND JAPAN RETAIL
|
1,808 |
shares
|
3,684,635 | |||||||
JAPAN TOBACCO INC
|
69,100 |
shares
|
2,248,437 | |||||||
JARDEN CORP
|
119,500 |
shares
|
7,331,325 | |||||||
JARDINE LLOYD THOMPSON GROUP
|
52,433 |
shares
|
884,053 | |||||||
JB HI-FI
|
17,932 |
shares
|
344,922 | |||||||
JC DECAUX SA
|
9,373 |
shares
|
387,078 | |||||||
JERONIMO MARTINS
|
165,258 |
shares
|
3,237,001 | |||||||
JGC CORP
|
35,000 |
shares
|
1,373,626 | |||||||
JOHN WILEY & SONS INC
|
106,050 |
shares
|
5,853,960 | |||||||
JOHN WOOD GROUP PLC
|
33,898 |
shares
|
385,145 | |||||||
JOHNSON & JOHNSON
|
120,800 |
shares
|
11,064,072 | |||||||
JOYO BANK
|
9,000 |
shares
|
45,983 | |||||||
JPMORGAN CHASE & CO
|
569,725 |
shares
|
33,317,518 | |||||||
JSR CORP
|
56,400 |
shares
|
1,092,530 | |||||||
JTEKT CORP
|
34,600 |
shares
|
589,258 | |||||||
JULIUS BAER GRUPPE AG
|
6,348 |
shares
|
305,783 | |||||||
JX HOLDINGS INC
|
164,000 |
shares
|
844,146 | |||||||
JYSKE BANK
|
32,353 |
shares
|
1,747,890 | |||||||
K12 INC
|
149,700 |
shares
|
3,255,975 | |||||||
KABA HOLDING
|
152 |
shares
|
74,090 | |||||||
KAISER ALUMINUM CORP
|
45,100 |
shares
|
3,167,824 | |||||||
KAJIMA CORP
|
125,000 |
shares
|
469,768 | |||||||
KAKAKU.COM INC
|
10,400 |
shares
|
182,758 | |||||||
KANEKA CORP
|
44,000 |
shares
|
288,854 | |||||||
KANSAI PAINT CO
|
37,000 |
shares
|
547,405 | |||||||
KAO CORP
|
8,322 |
shares
|
263,391 | |||||||
KAPSTONE PAPER AND PACKAGING
|
41,400 |
shares
|
2,312,604 | |||||||
KAWASAKI HEAVY INDUSTRIES
|
242,000 |
shares
|
1,015,385 | |||||||
KELLOGG CO
|
65,100 |
shares
|
3,975,657 | |||||||
KENEDIX OFFICE INVESTMENT CORP
|
222 |
shares
|
1,055,031 | |||||||
KEPPEL REIT
|
384,000 |
shares
|
360,399 | |||||||
KERING
|
50,419 |
shares
|
10,674,812 | |||||||
KERRY GROUP 'A' ORD
|
11,716 |
shares
|
815,275 | |||||||
KERRY GROUP 'A' ORD
|
4,714 |
shares
|
327,966 | |||||||
KERRY PROPERTIES LTD
|
221,500 |
shares
|
768,448 | |||||||
KEYCORP
|
267,100 |
shares
|
3,584,482 | |||||||
KEYENCE CORP
|
2,200 |
shares
|
941,915 | |||||||
KILROY REALTY CORP
|
52,600 |
shares
|
2,639,468 | |||||||
KIMBERLY CLARK DE MEXICO SAB
|
112,956 |
shares
|
319,795 | |||||||
KIMCO REALTY CORP
|
108,800 |
shares
|
2,148,800 | |||||||
KINDEN CORPORATION
|
78,000 |
shares
|
816,327 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
KINDER MORGAN INC DELAWARE
|
456,968 |
shares
|
$ | 13,397,640 | ||||||
KINNEVIK INVESTMENT AB
|
159,765 |
shares
|
7,410,394 | |||||||
KINTETSU WORLD EXP
|
6,800 |
shares
|
273,669 | |||||||
KLEPIERRE
|
62,242 |
shares
|
2,889,040 | |||||||
KOBAYASHI PHARMACEUTICALS
|
14,500 |
shares
|
809,809 | |||||||
KOC HLDG
|
155,265 |
shares
|
635,947 | |||||||
KODIAK OIL & GAS CORP
|
318,100 |
shares
|
3,565,901 | |||||||
KOHL'S CORP
|
150,900 |
shares
|
8,563,575 | |||||||
KOITO MANUFACTURING CO
|
24,000 |
shares
|
458,285 | |||||||
KONICA MINOLTA INC
|
164,500 |
shares
|
1,641,792 | |||||||
KONINKLIJKE AHOLD
|
122,564 |
shares
|
2,203,976 | |||||||
KONINKLIJKE KPN
|
185,985 |
shares
|
600,459 | |||||||
KONINKLIJKE PHILIPS
|
646,500 |
shares
|
23,901,105 | |||||||
KONINKLIJKE VOPAK
|
8,169 |
shares
|
478,625 | |||||||
KOREA ELECTRIC POWER CORP
|
499,400 |
shares
|
8,295,034 | |||||||
KROTON EDUCACIONAL
|
36,800 |
shares
|
612,384 | |||||||
KUBOTA CORPORATION
|
42,000 |
shares
|
694,905 | |||||||
KYOCERA CORP
|
65,200 |
shares
|
3,256,743 | |||||||
KYOWA HAKKO KIRIN CO LTD
|
38,000 |
shares
|
419,029 | |||||||
L BRANDS INC
|
187,800 |
shares
|
11,615,430 | |||||||
L&L ENERGY INC
|
8,522 |
shares
|
14,317 | |||||||
LADBROKES ORD GBP
|
55,355 |
shares
|
164,019 | |||||||
LAGARDERE S.C.A.
|
37,212 |
shares
|
1,385,485 | |||||||
LAM RESEARCH CORP
|
44,000 |
shares
|
2,395,800 | |||||||
LAND SECS GP
|
426,914 |
shares
|
6,812,680 | |||||||
LAREDO PETROLEUM INC
|
157,600 |
shares
|
4,363,944 | |||||||
LAWSON INC
|
11,000 |
shares
|
823,653 | |||||||
LA-Z-BOY INC
|
99,500 |
shares
|
3,084,500 | |||||||
LEG IMMOBILIEN
|
44,814 |
shares
|
2,652,225 | |||||||
LEGAL & GENERAL GROUP
|
322,974 |
shares
|
1,191,280 | |||||||
LEGRAND
|
9,363 |
shares
|
516,844 | |||||||
LEIGHTON HOLDINGS LTD
|
38,583 |
shares
|
556,090 | |||||||
LEVEL 3 COMMUNICATIONS INC
|
520,000 |
shares
|
17,248,400 | |||||||
LEXINGTON REALTY TRUST
|
377,670 |
shares
|
3,856,011 | |||||||
LI & FUNG
|
148,862 |
shares
|
191,987 | |||||||
LIBERTY INTERACTIVE CORP
|
754,900 |
shares
|
22,156,315 | |||||||
LIBERTY MEDIA CORP
|
12,000 |
shares
|
1,757,400 | |||||||
LIBERTY PROPERTY TRUST
|
78,860 |
shares
|
2,670,988 | |||||||
LINK REAL ESTATE INVESTMENT
|
1,290,497 |
shares
|
6,257,964 | |||||||
LINKEDIN CORP
|
62,881 |
shares
|
13,634,487 | |||||||
LINX
|
20,700 |
shares
|
420,361 | |||||||
LITTELFUSE INC
|
33,300 |
shares
|
3,094,569 | |||||||
LOCKHEED MARTIN CORP
|
22,000 |
shares
|
3,270,520 | |||||||
LOEWS CORP
|
499,300 |
shares
|
24,086,232 | |||||||
LOGITECH INTERNATIONAL
|
205,318 |
shares
|
2,828,072 | |||||||
LOJAS RENNER
|
5,000 |
shares
|
129,278 | |||||||
LONGFOR PROPERTIES
|
53,000 |
shares
|
74,096 | |||||||
LONZA GROUP
|
14,773 |
shares
|
1,405,291 | |||||||
L'OREAL
|
64,642 |
shares
|
11,374,679 | |||||||
LOWE'S COS INC
|
209,800 |
shares
|
10,395,590 | |||||||
LPS BRASIL-CONSULTORIA DE
|
47,300 |
shares
|
289,504 | |||||||
LSL PROPERTY SERVICES
|
82,393 |
shares
|
600,439 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
LUKOIL OAO
|
95,211 |
shares
|
$ | 6,009,718 | ||||||
LXB RETAIL PROPERTIES PLC
|
311,722 |
shares
|
660,205 | |||||||
LYONDELLBASELL INDUSTRIES
|
92,402 |
shares
|
7,418,033 | |||||||
M DIAS BRANCO
|
12,900 |
shares
|
546,784 | |||||||
M3 INC
|
176 |
shares
|
441,235 | |||||||
MABUCHI MOTOR
|
8,400 |
shares
|
499,500 | |||||||
MACERICH CO
|
97,972 |
shares
|
5,769,571 | |||||||
MACK-CALI REALTY CORP
|
59,200 |
shares
|
1,271,616 | |||||||
MACQUARIE MEXICO R
|
177,735 |
shares
|
349,983 | |||||||
MACY'S INC
|
67,011 |
shares
|
3,578,387 | |||||||
MAGELLAN HEALTH SERVICES INC
|
108,100 |
shares
|
6,476,271 | |||||||
MAGNA INTERNATIONAL
|
47,999 |
shares
|
3,934,789 | |||||||
MAGNIT OJSC
|
40,400 |
shares
|
2,674,480 | |||||||
MAIL.RU GROUP LTD
|
58,665 |
shares
|
2,616,459 | |||||||
MALLINCKRODT PLC
|
12,550 |
shares
|
655,863 | |||||||
MAPLETREE COMMERCIAL TRUST
|
123,583 |
shares
|
116,477 | |||||||
MAPLETREE GREATER CHINA
|
80,000 |
shares
|
53,224 | |||||||
MARATHON OIL CORP
|
135,889 |
shares
|
4,796,882 | |||||||
MARINE HARVVEST
|
557,050 |
shares
|
678,081 | |||||||
MARRIOTT VACATIONS WORLDWIDE
|
120,500 |
shares
|
6,357,580 | |||||||
MARSH & MCLENNAN COS INC
|
231,400 |
shares
|
11,190,504 | |||||||
MARUBENI CORP
|
339,000 |
shares
|
2,438,362 | |||||||
MARUICHI STEEL TUBE
|
19,800 |
shares
|
500,345 | |||||||
MASTERCARD INC
|
64,906 |
shares
|
54,226,367 | |||||||
MAXIM INTEGRATED PRODUCTS INC
|
83,000 |
shares
|
2,316,530 | |||||||
MAYR-MELNHOF KARTON AG
|
4,525 |
shares
|
561,170 | |||||||
MAZDA MOTOR CORP
|
184,000 |
shares
|
952,343 | |||||||
MCGRAW HILL FINANCIAL INC
|
59,300 |
shares
|
4,637,260 | |||||||
MEAD JOHNSON NUTRITION CO
|
63,211 |
shares
|
5,294,553 | |||||||
MEADWESTVACO CORP
|
225,200 |
shares
|
8,316,636 | |||||||
MEDICAL PROPERTIES TRUST INC
|
193,800 |
shares
|
2,368,236 | |||||||
MEDIOBANCA
|
158,811 |
shares
|
1,391,782 | |||||||
MEDIPAL HOLDINGS CORP
|
42,300 |
shares
|
558,607 | |||||||
MEDNAX INC
|
122,000 |
shares
|
6,512,360 | |||||||
MEDTRONIC INC
|
71,000 |
shares
|
4,074,690 | |||||||
MEG ENERGY CORP
|
9,567 |
shares
|
275,620 | |||||||
MEGGITT ORD5P
|
849,597 |
shares
|
7,422,690 | |||||||
MERCADOLIBRE INC
|
37,700 |
shares
|
4,063,683 | |||||||
MERCIALYS SA
|
38,919 |
shares
|
817,834 | |||||||
MERCK & CO INC
|
830,721 |
shares
|
41,577,586 | |||||||
MERRILL-CW15 EXIDE INDUSTRI
|
299,847 |
shares
|
598,585 | |||||||
MERRILL-CW16 DABUR INDIA L
|
252,055 |
shares
|
698,293 | |||||||
MERRILL-CW18 FEDERAL BANK
|
391,109 |
shares
|
532,299 | |||||||
METHANEX CORP
|
40,900 |
shares
|
2,422,916 | |||||||
METLIFE INC
|
334,718 |
shares
|
18,047,995 | |||||||
METRO AG
|
31,992 |
shares
|
1,551,735 | |||||||
MGM CHINA HOLDINGS LTD
|
248,800 |
shares
|
1,062,103 | |||||||
MICHAEL KORS HOLDINGS LTD
|
92,019 |
shares
|
7,471,023 | |||||||
MICRON TECHNOLOGY INC
|
1,020,100 |
shares
|
22,197,376 | |||||||
MICROSOFT CORP
|
1,199,500 |
shares
|
44,897,285 | |||||||
MIDLAND HOLDINGS LTD
|
1,510,649 |
shares
|
726,709 | |||||||
MILBON CO
|
8,760 |
shares
|
343,382 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
MILLICOM INTL CELL SDR EACH
|
19,129 |
shares
|
$ | 1,907,658 | ||||||
MILLS ESTRUTURAS E SERVICOS
|
31,800 |
shares
|
444,802 | |||||||
MINOR INTERNATIONAL PUBLIC CO
|
211,341 |
shares
|
133,133 | |||||||
MIRACA HOLDINGS INC
|
22,700 |
shares
|
1,071,234 | |||||||
MIRVAC GROUP STAPLED
|
2,322,848 |
shares
|
3,491,268 | |||||||
MITIE GROUP
|
65,323 |
shares
|
343,940 | |||||||
MITRA ADIPERKAJA TBK PT
|
125,308 |
shares
|
56,630 | |||||||
MITSUBISHI CHEMICAL HOLDINGS
|
382,000 |
shares
|
1,766,348 | |||||||
MITSUBISHI CORP
|
92,800 |
shares
|
1,780,863 | |||||||
MITSUBISHI ELECTRIC CORP
|
57,000 |
shares
|
715,856 | |||||||
MITSUBISHI ESTATE CO LTD
|
528,170 |
shares
|
15,804,145 | |||||||
MITSUBISHI HEAVY IND
|
323,000 |
shares
|
2,000,599 | |||||||
MITSUBISHI MATERIAL CORP
|
253,000 |
shares
|
933,961 | |||||||
MITSUI & CO
|
120,300 |
shares
|
1,676,795 | |||||||
MITSUI FUDOSAN CO
|
428,599 |
shares
|
15,434,539 | |||||||
MITSUI O.S.K. LINES
|
137,000 |
shares
|
617,839 | |||||||
MOBILE TELESYSTEMS OJSC
|
34,887 |
shares
|
754,606 | |||||||
MOBIMO HLDG
|
682 |
shares
|
142,711 | |||||||
MOHAWK INDUSTRIES INC
|
17,538 |
shares
|
2,611,408 | |||||||
MONDELEZ INTERNATIONAL INC
|
863,260 |
shares
|
30,473,078 | |||||||
MONOTARO CO LTD
|
26,800 |
shares
|
545,154 | |||||||
MONSANTO CO
|
156,728 |
shares
|
18,266,648 | |||||||
MORGAN STANLEY
|
790,155 |
shares
|
24,779,261 | |||||||
MRC GLOBAL INC
|
182,575 |
shares
|
5,889,870 | |||||||
MSCI INC
|
148,450 |
shares
|
6,490,234 | |||||||
MTU AERO ENGINES
|
5,480 |
shares
|
539,078 | |||||||
MUENCHENER RUECKVERSICHERUNGS
|
9,308 |
shares
|
2,054,077 | |||||||
MULTIPLAN EMPREENDIMENTOS IMOB
|
14,744 |
shares
|
311,847 | |||||||
MULTIPLUS SA
|
27,600 |
shares
|
350,023 | |||||||
MURATA MANUFACTURING CO NPV
|
25,200 |
shares
|
2,239,361 | |||||||
MURPHY OIL CORP
|
239,400 |
shares
|
15,532,272 | |||||||
N.G.K. SPARK PLUG CO
|
46,000 |
shares
|
1,089,767 | |||||||
NAKANISHI INC
|
3,400 |
shares
|
486,846 | |||||||
NAMCO BANDAI HOLDINGS INC
|
7,700 |
shares
|
170,989 | |||||||
NATIONAL PENN BANCSHARES INC
|
208,000 |
shares
|
2,356,640 | |||||||
NATIONAL RETAIL PROPERTIES INC
|
24,350 |
shares
|
738,536 | |||||||
NATIXIS
|
140,408 |
shares
|
826,913 | |||||||
NAVER CORP
|
12,593 |
shares
|
8,639,155 | |||||||
NAVISTAR INTERNATIONAL CORP
|
71,700 |
shares
|
2,738,223 | |||||||
NCR CORP
|
68,577 |
shares
|
2,335,733 | |||||||
NEC CORP
|
512,000 |
shares
|
1,154,503 | |||||||
NEOPOST
|
5,954 |
shares
|
459,606 | |||||||
NESTE OIL OYJ
|
72,080 |
shares
|
1,427,266 | |||||||
NESTLE SA
|
42,127 |
shares
|
3,100,126 | |||||||
NETAPP INC
|
175,000 |
shares
|
7,199,500 | |||||||
NETFLIX INC
|
23,085 |
shares
|
8,499,204 | |||||||
NEUSTAR INC
|
223,548 |
shares
|
11,146,103 | |||||||
NEW GOLD INC
|
365,400 |
shares
|
1,914,696 | |||||||
NEW ORIENTAL EDUCATION & TECHN
|
147,300 |
shares
|
4,639,950 | |||||||
NEW WORLD DEVELOPMENT CO
|
1,748,396 |
shares
|
2,207,551 | |||||||
NEWFIELD EXPLORATION CO
|
403,200 |
shares
|
9,930,816 | |||||||
NEWS CORP
|
654,200 |
shares
|
11,788,684 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
NEXT GROUP ORD
|
23,166 |
shares
|
$ | 2,091,093 | ||||||
NEXTERA ENERGY INC
|
75,078 |
shares
|
6,428,178 | |||||||
NGK INSULATORS
|
62,000 |
shares
|
1,178,593 | |||||||
NIC INC
|
145,200 |
shares
|
3,611,124 | |||||||
NICE SYSTEMS LTD
|
116,914 |
shares
|
4,788,797 | |||||||
NICE SYSTEMS
|
27,135 |
shares
|
1,111,667 | |||||||
NIDEC CORP
|
11,000 |
shares
|
1,077,970 | |||||||
NIEUWE STEEN INVES
|
214,400 |
shares
|
1,358,989 | |||||||
NIHON KODEN CORP
|
9,400 |
shares
|
328,224 | |||||||
NIKE INC
|
289,292 |
shares
|
22,749,923 | |||||||
NIPPON BUILDING FUND INC
|
430 |
shares
|
2,503,782 | |||||||
NIPPON ELECTRIC GLASS
|
176,000 |
shares
|
924,333 | |||||||
NIPPON EXPRESS CO
|
55,000 |
shares
|
266,353 | |||||||
NIPPON PROLOGIS REIT INC
|
192 |
shares
|
1,837,705 | |||||||
NIPPON TEL & TEL CORP
|
9,800 |
shares
|
527,739 | |||||||
NIPPON TELEVISION HOLDINGS INC
|
22,100 |
shares
|
399,295 | |||||||
NIPPON YUSEN KK
|
276,000 |
shares
|
882,318 | |||||||
NITORI HOLDINGS CO LTD
|
3,150 |
shares
|
298,801 | |||||||
NKSJ HOLDINGS INC
|
12,000 |
shares
|
333,838 | |||||||
NOKIA
|
203,991 |
shares
|
1,635,940 | |||||||
NOKIA OYJ
|
677,149 |
shares
|
5,491,678 | |||||||
NOMURA HOLDING
|
42,700 |
shares
|
328,665 | |||||||
NOMURA RESEARCH INSTITUTE
|
26,800 |
shares
|
845,269 | |||||||
NOMURA RL EST INC
|
6,000 |
shares
|
135,179 | |||||||
NORDEA BANK AB
|
102,695 |
shares
|
1,385,501 | |||||||
NORTHSTAR REALTY FINANCE CORP
|
272,570 |
shares
|
3,666,067 | |||||||
NORWEGIAN PROPERTY
|
298,918 |
shares
|
358,198 | |||||||
NOVARTIS
|
207,033 |
shares
|
16,641,313 | |||||||
NOVO NORDISK
|
111,133 |
shares
|
20,532,933 | |||||||
NOVO-NORDISK
|
54,347 |
shares
|
9,977,820 | |||||||
NOVOZYMES
|
129,788 |
shares
|
5,487,241 | |||||||
NPS PHARMACEUTICALS INC
|
105,300 |
shares
|
3,196,908 | |||||||
NRG ENERGY INC
|
535,980 |
shares
|
15,393,346 | |||||||
NSK LTD ORD
|
40,000 |
shares
|
497,788 | |||||||
NTT URBAN DEVELOPMENT CORP
|
2,800 |
shares
|
32,208 | |||||||
NVR INC
|
1,100 |
shares
|
1,128,611 | |||||||
OBIC BUSINESS CONSULTANT
|
10,300 |
shares
|
336,131 | |||||||
OBIC
|
66,900 |
shares
|
1,976,352 | |||||||
OCCIDENTAL PETROLEUM CORP
|
87,214 |
shares
|
8,294,051 | |||||||
OCH-ZIFF CAPITAL MANAGEMENT
|
570,000 |
shares
|
8,436,000 | |||||||
ODONTOPREV SA COM
|
141,700 |
shares
|
590,404 | |||||||
OFG BANCORP
|
213,600 |
shares
|
3,703,824 | |||||||
OGE ENERGY CORP
|
170,200 |
shares
|
5,769,780 | |||||||
OLD DOMINION FREIGHT LINE INC
|
75,800 |
shares
|
4,018,916 | |||||||
OLD MUTUAL PLC ORD
|
335,865 |
shares
|
1,051,919 | |||||||
OMRON CORP
|
39,400 |
shares
|
1,741,240 | |||||||
ONEX CORP
|
18,091 |
shares
|
976,488 | |||||||
OPAP
|
86,763 |
shares
|
1,156,098 | |||||||
OPEN TEXT CORPORATION
|
12,247 |
shares
|
1,126,263 | |||||||
ORANGE SA
|
99,113 |
shares
|
1,229,155 | |||||||
ORANGE SPONSORED
|
43,934 |
shares
|
542,585 | |||||||
ORBITAL SCIENCES CORP
|
241,251 |
shares
|
5,621,148 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
ORIX CORP
|
92,800 |
shares
|
$ | 1,630,765 | ||||||
ORIX JREIT INC REAL ESTATE INV
|
165 |
shares
|
206,750 | |||||||
OSHKOSH CORP
|
47,800 |
shares
|
2,408,164 | |||||||
OSRAM LICHT AG
|
21,908 |
shares
|
1,237,713 | |||||||
OTSUKA HOLDINGS CO LTD
|
50,900 |
shares
|
1,472,204 | |||||||
OUTOTEC
|
15,816 |
shares
|
165,850 | |||||||
OWENS CORNING
|
76,000 |
shares
|
3,094,720 | |||||||
PADDY POWER
|
5,720 |
shares
|
488,676 | |||||||
PANASONIC CORP
|
527,199 |
shares
|
6,143,847 | |||||||
PARGESA HLDGS
|
1,343 |
shares
|
108,576 | |||||||
PARTNERS GRP HLDG
|
3,044 |
shares
|
814,266 | |||||||
PDC ENERGY INC
|
75,260 |
shares
|
4,005,337 | |||||||
PEBBLEBROOK HOTEL TRUST
|
31,700 |
shares
|
975,092 | |||||||
PENNSYLVANIA REAL ESTATE INVESTMENT
|
110,100 |
shares
|
2,089,698 | |||||||
PENTAIR LTD
|
91,610 |
shares
|
7,115,349 | |||||||
PEPSICO INC
|
80,800 |
shares
|
6,701,552 | |||||||
PERRIGO CO PLC
|
98,791 |
shares
|
15,160,467 | |||||||
PETROLEUM GEO-SERVICES
|
8,506 |
shares
|
100,176 | |||||||
PFEIFFER VACUUM TECHNOLOGY
|
2,483 |
shares
|
338,484 | |||||||
PFIZER INC
|
1,328,104 |
shares
|
40,679,826 | |||||||
PG&E CORP
|
153,300 |
shares
|
6,174,924 | |||||||
PHILLIPS 66
|
64,396 |
shares
|
4,966,863 | |||||||
PINNACLE WEST CAPITAL CORP
|
60,200 |
shares
|
3,185,784 | |||||||
PLATINUM UNDERWRITERS HOLDINGS
|
107,400 |
shares
|
6,581,472 | |||||||
PLEXUS CORP
|
84,400 |
shares
|
3,653,676 | |||||||
PNC FINANCIAL SERVICES GROUP I
|
104,882 |
shares
|
8,136,746 | |||||||
PNM RESOURCES INC
|
97,900 |
shares
|
2,361,348 | |||||||
POLARIS INDUSTRIES INC
|
47,100 |
shares
|
6,859,644 | |||||||
POLYONE CORP
|
136,600 |
shares
|
4,828,810 | |||||||
POPULAR INC
|
144,300 |
shares
|
4,145,739 | |||||||
POST PROPERTIES INC
|
43,340 |
shares
|
1,960,268 | |||||||
POWER CORP CANADA
|
55,584 |
shares
|
1,671,444 | |||||||
POWER FINANCIAL CORP
|
7,221 |
shares
|
244,664 | |||||||
PRECIOUS SHIPPING
|
329,882 |
shares
|
213,831 | |||||||
PRECISION CASTPARTS CORP
|
57,718 |
shares
|
15,543,457 | |||||||
PREMIER FARNELL
|
79,467 |
shares
|
292,322 | |||||||
PRICELINE.COM INC
|
30,653 |
shares
|
35,631,047 | |||||||
PRIME OFFICE REIT
|
33,699 |
shares
|
143,486 | |||||||
PRIMORIS SERVICES CORP
|
126,400 |
shares
|
3,934,832 | |||||||
PROASSURANCE CORP
|
215,000 |
shares
|
10,423,200 | |||||||
PROCTER & GAMBLE CO
|
118,600 |
shares
|
9,655,226 | |||||||
PROGRESS SOFTWARE CORP
|
92,130 |
shares
|
2,379,718 | |||||||
PROGRESSIVE CORP
|
343,702 |
shares
|
9,372,754 | |||||||
PROLOGIS INC
|
188,647 |
shares
|
6,970,507 | |||||||
PROMOTORA Y OPERADORA DE
|
42,540 |
shares
|
506,758 | |||||||
PROSIEBENSAT1 MEDI
|
18,314 |
shares
|
908,488 | |||||||
PROTO CORPORATION
|
20,500 |
shares
|
286,713 | |||||||
PRUDENTIAL
|
836,068 |
shares
|
18,555,484 | |||||||
PS BUSINESS PARKS INC
|
4,730 |
shares
|
361,467 | |||||||
PSP SWISS PROPERTY
|
28,380 |
shares
|
2,409,276 | |||||||
PTC INC
|
82,440 |
shares
|
2,917,552 | |||||||
PUBLIC BK BHD
|
88,523 |
shares
|
528,084 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
PUBLIC POWER CORP
|
28,461 |
shares
|
$ | 423,553 | ||||||
PUBLIC STORAGE
|
67,926 |
shares
|
10,224,222 | |||||||
PZ CUSSONS
|
19,262 |
shares
|
120,114 | |||||||
QANTAS AIRWAYS NPV
|
606,618 |
shares
|
594,268 | |||||||
QLIK TECHNOLOGIES INC
|
269,900 |
shares
|
7,187,437 | |||||||
QUALCOMM INC
|
270,932 |
shares
|
20,116,701 | |||||||
QUALICORP SA
|
44,300 |
shares
|
422,486 | |||||||
QUINTAIN ESTATE & DEVELOPMENT
|
167,136 |
shares
|
261,594 | |||||||
RAKUTEN INC NPV
|
919,300 |
shares
|
13,679,513 | |||||||
RALPH LAUREN CORP
|
34,222 |
shares
|
6,042,579 | |||||||
RAMCO-GERSHENSON PROPERTIES TR
|
30,600 |
shares
|
481,644 | |||||||
RAMSAY HEALTH CARE LTD
|
15,997 |
shares
|
619,125 | |||||||
RANDSTAD HOLDINGS
|
39,436 |
shares
|
2,562,170 | |||||||
RATHBONE BROS
|
33,620 |
shares
|
898,726 | |||||||
RAYTHEON CO
|
65,900 |
shares
|
5,977,130 | |||||||
REALTY INCOME CORP
|
3,240 |
shares
|
120,949 | |||||||
RECALL HOLDINGS LTD
|
48,475 |
shares
|
176,075 | |||||||
RED HAT INC
|
170,982 |
shares
|
9,581,831 | |||||||
REED ELSEVIER NV
|
52,525 |
shares
|
1,114,603 | |||||||
REGAL-BELOIT CORP
|
57,200 |
shares
|
4,216,784 | |||||||
REGENCY CENTERS CORP
|
67,766 |
shares
|
3,137,566 | |||||||
REGIONS FINANCIAL CORP
|
406,254 |
shares
|
4,017,852 | |||||||
RENAISSANCE RE HOLDINGS LTD
|
108,200 |
shares
|
10,532,188 | |||||||
RENAULT REGIE NATIONALE DES
|
31,375 |
shares
|
2,526,979 | |||||||
RESOLUTE FST PRODS INC
|
541,000 |
shares
|
8,666,820 | |||||||
RESOLUTION LTD ORD
|
223,700 |
shares
|
1,311,581 | |||||||
REXEL PROMESSES
|
41,242 |
shares
|
1,084,021 | |||||||
REXFORD INDUSTRIAL REALTY INC
|
9,100 |
shares
|
120,120 | |||||||
REYNOLDS AMERICAN INC
|
78,363 |
shares
|
3,917,366 | |||||||
RICOH
|
71,000 |
shares
|
755,226 | |||||||
RIGHTMOVE PLC
|
16,850 |
shares
|
764,674 | |||||||
RIOCAN REIT
|
148,531 |
shares
|
3,462,694 | |||||||
RITCHIE BROS AUCTIONEERS INC
|
147,550 |
shares
|
3,383,322 | |||||||
RITE AID CORP
|
349,700 |
shares
|
1,769,482 | |||||||
ROBERT HALF INTERNATIONAL INC
|
183,800 |
shares
|
7,717,762 | |||||||
ROCHE HLDG AG GENUSSCHEINE
|
62,962 |
shares
|
17,642,245 | |||||||
ROCHE HOLDING AG
|
190,000 |
shares
|
13,338,000 | |||||||
ROCK TENN CO
|
26,800 |
shares
|
2,814,268 | |||||||
ROCKWOOD HOLDINGS INC
|
40,600 |
shares
|
2,919,952 | |||||||
ROHM CO
|
13,100 |
shares
|
638,143 | |||||||
ROLLS ROYCE HOLDINGS
|
82,459,638 |
shares
|
136,574 | |||||||
ROLLS ROYCE HOLDINGS PLC
|
952,045 |
shares
|
20,104,513 | |||||||
ROSETTA RESOURCES INC
|
70,600 |
shares
|
3,391,624 | |||||||
ROSNEFT OAO REGS
|
114,166 |
shares
|
874,135 | |||||||
ROSNEFT OJSC
|
180,462 |
shares
|
1,374,218 | |||||||
ROTORK
|
7,562 |
shares
|
359,455 | |||||||
ROWAN COS PLC
|
173,600 |
shares
|
6,138,496 | |||||||
ROYAL BANK OF CANADA
|
44,836 |
shares
|
3,013,401 | |||||||
ROYAL CARIBBEAN CRUISES LTD
|
86,000 |
shares
|
4,078,120 | |||||||
ROYAL DUTCH SHELL PLC
|
76,800 |
shares
|
5,473,536 | |||||||
RPM INTERNATIONAL INC DELAWARE
|
265,550 |
shares
|
11,022,981 | |||||||
RTI INTERNATIONAL METALS INC
|
82,200 |
shares
|
2,812,062 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
RYLAND GROUP INC
|
88,600 |
shares
|
$ | 3,846,126 | ||||||
RYMAN HOSPITALITY PROPERTIES
|
58,230 |
shares
|
2,432,849 | |||||||
SAAB
|
6,890 |
shares
|
185,054 | |||||||
SAFESTORE HOLDINGS
|
400,702 |
shares
|
1,068,497 | |||||||
SAFEWAY INC
|
167,300 |
shares
|
5,448,961 | |||||||
SAINSBURY
|
181,727 |
shares
|
1,098,597 | |||||||
SALESFORCE.COM INC
|
237,416 |
shares
|
13,102,989 | |||||||
SALIX PHARMACEUTICALS LTD
|
65,400 |
shares
|
5,882,076 | |||||||
SALLY BEAUTY HOLDINGS INC
|
590,700 |
shares
|
17,856,861 | |||||||
SAMPO
|
46,620 |
shares
|
2,294,654 | |||||||
SAMSUNG ELECTRONICS
|
4,056 |
shares
|
2,648,568 | |||||||
SAMSUNG ELECTRONICS CO LTD
|
876 |
shares
|
420,424 | |||||||
SAMSUNG ELECTRONICS CO LTD
|
10,013 |
shares
|
13,017,328 | |||||||
SAMSUNG FIRE & MARINE INSURANCE
|
1,446 |
shares
|
354,872 | |||||||
SANDS CHINA LTD
|
490,400 |
shares
|
4,006,686 | |||||||
SANDVIK
|
425,262 |
shares
|
6,005,553 | |||||||
SANOFI
|
381,589 |
shares
|
24,757,154 | |||||||
SANRIO CO
|
67,000 |
shares
|
2,820,751 | |||||||
SANTEN PHARMACEUTICAL CO
|
29,500 |
shares
|
1,376,695 | |||||||
SBA COMMUNICATIONS CORP
|
67,975 |
shares
|
6,106,874 | |||||||
SBERBANK OF RUSSIA
|
264,432 |
shares
|
3,323,910 | |||||||
SCHIBSTED
|
95,470 |
shares
|
6,313,419 | |||||||
SCHLUMBERGER LTD
|
272,876 |
shares
|
24,588,856 | |||||||
SCHOELLER BLECKMAN
|
3,261 |
shares
|
361,996 | |||||||
SCHRODERS
|
41,028 |
shares
|
1,765,409 | |||||||
SEAWORLD ENTERTAINMENT INC
|
233,450 |
shares
|
6,716,357 | |||||||
SEB
|
1,394 |
shares
|
126,201 | |||||||
SECURITAS
|
28,557 |
shares
|
303,907 | |||||||
SEGRO PLC
|
55,469 |
shares
|
306,848 | |||||||
SEMEN INDONESIA PERSERO TBK PT
|
182,780 |
shares
|
212,517 | |||||||
SEMPRA ENERGY
|
75,707 |
shares
|
6,795,460 | |||||||
SEMTECH CORP
|
128,850 |
shares
|
3,257,328 | |||||||
SENIOR HOUSING PROPERTIES TRUST
|
114,011 |
shares
|
2,534,465 | |||||||
SENSATA TECHNOLOGIES HOLDING
|
3,822 |
shares
|
148,179 | |||||||
SEOUL SEMICONDUCTOR
|
18,171 |
shares
|
695,607 | |||||||
SERCO GROUP
|
96,990 |
shares
|
801,913 | |||||||
SERIA CO LTD
|
4,000 |
shares
|
160,982 | |||||||
SES SA FIDUCIARY DR EACH REP
|
16,970 |
shares
|
550,221 | |||||||
SHAFTESBURY
|
36,287 |
shares
|
376,829 | |||||||
SHANGRI-LA ASIA
|
331,105 |
shares
|
645,663 | |||||||
SHARP CORP
|
299,000 |
shares
|
950,155 | |||||||
SHENGUAN HOLDINGS GROUP LTD
|
1,703,495 |
shares
|
760,160 | |||||||
SHIMADZU
|
53,000 |
shares
|
461,396 | |||||||
SHIMAMURA NPV
|
1,900 |
shares
|
178,241 | |||||||
SHIMANO INC NPV
|
2,100 |
shares
|
180,420 | |||||||
SHIMAO PROPERTY HOLDINGS LTD
|
62,500 |
shares
|
143,640 | |||||||
SHIMIZU CORPORATION
|
209,000 |
shares
|
1,055,887 | |||||||
SHIONOGI & CO
|
24,000 |
shares
|
520,622 | |||||||
SHIRE PLC
|
48,763 |
shares
|
6,889,724 | |||||||
SHIRE PLC
|
76,023 |
shares
|
3,591,041 | |||||||
SHISEIDO
|
8,000 |
shares
|
128,709 | |||||||
SHIZUOKA BANK
|
37,000 |
shares
|
394,976 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
SHOWA SHELL SEKIYU
|
50,000 |
shares
|
$ | 508,063 | ||||||
SIKA FINANZ
|
298 |
shares
|
1,062,527 | |||||||
SILICONWARE PRECISION INDUSTRIES
|
559,000 |
shares
|
667,720 | |||||||
SIMON PROPERTY GROUP INC
|
150,200 |
shares
|
22,854,432 | |||||||
SINGAPORE AIRLINES
|
7,000 |
shares
|
57,714 | |||||||
SINGAPORE EXCHANGE
|
306,000 |
shares
|
1,759,512 | |||||||
SINGAPORE TECHNOLOGIES
|
98,000 |
shares
|
307,366 | |||||||
SINO LAND CO
|
1,004,000 |
shares
|
1,372,549 | |||||||
SINOTRUK (HONG KONG) LTD
|
375,622 |
shares
|
210,731 | |||||||
SIRONA DENTAL SYSTEMS INC
|
46,800 |
shares
|
3,285,360 | |||||||
SJM HOLDINGS LIMITED
|
403,000 |
shares
|
1,351,346 | |||||||
SK KAKEN CO LTD
|
2,000 |
shares
|
121,783 | |||||||
SKANDINAVISKA ENSKILDA BANKEN
|
59,438 |
shares
|
784,782 | |||||||
SKY CITY
|
75,011 |
shares
|
230,282 | |||||||
SL GREEN REALTY CORP
|
42,000 |
shares
|
3,879,960 | |||||||
SLM CORP
|
182,700 |
shares
|
4,801,356 | |||||||
SMA SOLAR TECHNOLOGY
|
45,721 |
shares
|
1,446,509 | |||||||
SMC CORP
|
42,000 |
shares
|
10,589,410 | |||||||
SMITH & NEPHEW
|
30,006 |
shares
|
427,895 | |||||||
SMITH & NEPHEW PLC
|
744 |
shares
|
53,375 | |||||||
SMITHS GROUP PLC
|
11,899 |
shares
|
291,674 | |||||||
SOCIEDAD QUIMICA Y MINERA DE C
|
111,300 |
shares
|
2,880,444 | |||||||
SOCIETE GENERALE
|
88,825 |
shares
|
5,167,576 | |||||||
SODEXO
|
13,193 |
shares
|
1,338,723 | |||||||
SOFTBANK CORPORATION
|
320,100 |
shares
|
28,018,838 | |||||||
SOJITZ CORPORATION
|
631,700 |
shares
|
1,123,904 | |||||||
SOLARWINDS INC
|
143,500 |
shares
|
5,428,605 | |||||||
SOLERA HOLDINGS INC
|
211,700 |
shares
|
14,979,892 | |||||||
SOLOCAL GROUP
|
109,989 |
shares
|
166,715 | |||||||
SONIC HEALTHCARE LTD
|
46,832 |
shares
|
694,673 | |||||||
SONOVA HOLDING
|
15,810 |
shares
|
2,133,243 | |||||||
SONY CORP
|
84,100 |
shares
|
1,461,078 | |||||||
SONY FINANCIAL HOLDINGS INC
|
14,800 |
shares
|
269,513 | |||||||
SOUTHWEST AIRLINES CO
|
1,464,300 |
shares
|
27,587,412 | |||||||
SOVRAN SELF STORAGE INC
|
2,760 |
shares
|
179,869 | |||||||
SPECTRA ENERGY CORP
|
131,200 |
shares
|
4,673,344 | |||||||
SPECTRIS
|
26,649 |
shares
|
1,130,359 | |||||||
SPH REIT
|
643,000 |
shares
|
499,081 | |||||||
SPIRAX-SARCO ENGINEERING
|
10,246 |
shares
|
507,401 | |||||||
SPIRIT AEROSYSTEMS HOLDINGS IN
|
123,455 |
shares
|
4,207,346 | |||||||
SPLUNK INC
|
117,484 |
shares
|
8,067,626 | |||||||
SPONDA
|
74,800 |
shares
|
352,502 | |||||||
SPRINT CORP
|
405,703 |
shares
|
4,361,307 | |||||||
SPROUTS FARMERS MARKET INC
|
150,298 |
shares
|
5,775,952 | |||||||
ST JOE CO
|
119,100 |
shares
|
2,285,529 | |||||||
ST. MODWEN PROPS
|
20,949 |
shares
|
127,441 | |||||||
STAGECOACH GROUP
|
247,850 |
shares
|
1,553,338 | |||||||
STANDARD CHARTERED
|
431,380 |
shares
|
9,716,835 | |||||||
STANDARD LIFE
|
314,958 |
shares
|
1,875,850 | |||||||
STANLEY ELECTRIC CO
|
12,669 |
shares
|
290,252 | |||||||
STARBUCKS CORP
|
123,823 |
shares
|
9,706,485 | |||||||
STARWOOD HOTELS & RESORTS WORLD WIDE
|
53,187 |
shares
|
4,225,707 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
STELLA INTERNATIONAL HOLDINGS
|
264,909 |
shares
|
$ | 675,106 | ||||||
STMICROELECTRONICS
|
118,823 |
shares
|
956,196 | |||||||
STMICROELECTRONICS
|
121,625 |
shares
|
973,000 | |||||||
STOCKLAND TRUST GROUP
|
697,345 |
shares
|
2,252,206 | |||||||
STOREBRAND
|
61,100 |
shares
|
381,696 | |||||||
STRATEGIC HOTELS & RESORTS INC
|
109,600 |
shares
|
1,035,720 | |||||||
STRYKER CORP
|
48,123 |
shares
|
3,615,962 | |||||||
SUBSEA 7
|
37,675 |
shares
|
720,978 | |||||||
SUMITOMO CHEMICAL
|
395,000 |
shares
|
1,548,356 | |||||||
SUMITOMO ELECTRIC IND
|
102,500 |
shares
|
1,710,528 | |||||||
SUMITOMO HEAVY INDUSTRIES
|
97,000 |
shares
|
446,677 | |||||||
SUMITOMO REALTY & DEVELOPMENT CO
|
222,900 |
shares
|
11,091,451 | |||||||
SUN HUNG KAI PROPERTIES
|
847,628 |
shares
|
10,751,470 | |||||||
SUNDRUG CO
|
10,100 |
shares
|
452,124 | |||||||
SUNSTONE HOTEL INVESTORS INC
|
320,300 |
shares
|
4,292,020 | |||||||
SUNTEC REAL ESTATE INVESTMENT
|
295,000 |
shares
|
359,813 | |||||||
SUNTRUST BANKS INC
|
237,034 |
shares
|
8,725,222 | |||||||
SUPER RETAIL GROUP LTD
|
32,790 |
shares
|
389,870 | |||||||
SUPERIOR ENERGY SERVICES INC
|
90,700 |
shares
|
2,413,527 | |||||||
SURGUTNEFTEGAS
|
153,431 |
shares
|
1,325,644 | |||||||
SURGUTNEFTEGAS
|
230,300 |
shares
|
1,787,128 | |||||||
SUSQUEHANNA BANCSHARES INC
|
242,800 |
shares
|
3,117,552 | |||||||
SUZUKEN CO LTD
|
21,500 |
shares
|
696,518 | |||||||
SUZUKI MOTOR CO
|
25,500 |
shares
|
686,114 | |||||||
SVENSKA CELLULOSA
|
81,551 |
shares
|
2,514,106 | |||||||
SVENSKA HANDELSBANKEN
|
187,303 |
shares
|
9,215,543 | |||||||
SWATCH GROUP AG
|
235,710 |
shares
|
7,825,572 | |||||||
SWATCH GROUP
|
4,149 |
shares
|
2,750,138 | |||||||
SWEDBANK
|
34,717 |
shares
|
978,385 | |||||||
SWEDISH
|
20,629 |
shares
|
663,908 | |||||||
SWIRE PROPERTIES LTD
|
555,800 |
shares
|
1,404,956 | |||||||
SWISS LIFE HOLDING
|
5,985 |
shares
|
1,246,328 | |||||||
SWISS PRIME SITE
|
5,924 |
shares
|
459,945 | |||||||
SWISSCOM
|
7,170 |
shares
|
3,796,428 | |||||||
SYDBANK
|
46,291 |
shares
|
1,231,212 | |||||||
SYMANTEC CORP
|
515,000 |
shares
|
12,143,700 | |||||||
SYMRISE
|
31,394 |
shares
|
1,449,189 | |||||||
SYNERGY RESOURCES CORP
|
179,100 |
shares
|
1,662,048 | |||||||
SYNGENTA AG
|
80,302 |
shares
|
6,419,342 | |||||||
SYNGENTA AG
|
22,496 |
shares
|
8,984,741 | |||||||
SYNOPSYS INC
|
125,000 |
shares
|
5,071,250 | |||||||
SYNOVUS FINANCIAL CORP
|
1,035,100 |
shares
|
3,726,360 | |||||||
SYSMEX CORP
|
11,900 |
shares
|
703,097 | |||||||
T IS BANKASI
|
407,636 |
shares
|
882,247 | |||||||
T K CORPN
|
30,016 |
shares
|
627,135 | |||||||
T&D HOLDINGS INC
|
67,800 |
shares
|
947,607 | |||||||
T. E. R. N. A.
|
188,032 |
shares
|
941,046 | |||||||
TABLEAU SOFTWARE INC
|
22,941 |
shares
|
1,581,323 | |||||||
TAG TEGERNSEE IMMO
|
8,550 |
shares
|
103,441 | |||||||
TAIWAN SEMICONDUCTOR MANUFACTURING
|
207,000 |
shares
|
3,610,080 | |||||||
TAKATA CORPORATION NPV
|
15,800 |
shares
|
453,232 | |||||||
TANGER FACTORY OUTLET CENTERS
|
21,040 |
shares
|
673,701 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
TATE & LYLE
|
16,858 |
shares
|
$ | 225,881 | ||||||
TATTS GROUP LTD
|
288,397 |
shares
|
799,845 | |||||||
TAUBMAN CENTERS INC
|
35,892 |
shares
|
2,294,217 | |||||||
TAV HAVALIMANLARI HOLDING
|
104,720 |
shares
|
753,048 | |||||||
TDC
|
290,594 |
shares
|
2,823,229 | |||||||
TDK CORP
|
26,700 |
shares
|
1,280,320 | |||||||
TE CONNECTIVITY LTD
|
235,900 |
shares
|
13,000,449 | |||||||
TEAM HEALTH HOLDINGS INC
|
220,100 |
shares
|
10,025,555 | |||||||
TECH DATA CORP
|
12,235 |
shares
|
631,326 | |||||||
TECHNE CORP
|
64,631 |
shares
|
6,118,617 | |||||||
TECHNIP
|
7,420 |
shares
|
714,276 | |||||||
TEIJIN
|
110,000 |
shares
|
244,898 | |||||||
TELE2
|
73,610 |
shares
|
834,940 | |||||||
TELECOM ITALIA DI RISP
|
438,201 |
shares
|
343,573 | |||||||
TELECOM ITALIA
|
2,359,831 |
shares
|
2,344,497 | |||||||
TELEFONICA DEUTSCHLAND HOLDING
|
221,908 |
shares
|
1,834,669 | |||||||
TELENET GROUP HOLDING NPV
|
18,634 |
shares
|
1,113,728 | |||||||
TELENOR
|
65,075 |
shares
|
1,551,026 | |||||||
TELIASONERA
|
166,366 |
shares
|
1,387,117 | |||||||
TENARIS S
|
1,349 |
shares
|
29,519 | |||||||
TENARIS
|
51,809 |
shares
|
2,263,535 | |||||||
TENCENT HOLDINGS LTD
|
421,300 |
shares
|
26,874,091 | |||||||
TERADATA CORP
|
208,649 |
shares
|
9,491,443 | |||||||
TEREX CORP
|
76,800 |
shares
|
3,224,832 | |||||||
TERUMO CORP
|
21,400 |
shares
|
1,032,282 | |||||||
TESLA MOTORS INC
|
40,784 |
shares
|
6,133,098 | |||||||
TEVA PHARMACEUTICAL INDUSTRIES
|
34,383 |
shares
|
1,378,071 | |||||||
TEXAS INSTRUMENTS INC
|
116,900 |
shares
|
5,133,079 | |||||||
TEXTRON INC
|
89,335 |
shares
|
3,283,955 | |||||||
THALES
|
8,527 |
shares
|
549,890 | |||||||
THERMO FISHER SCIENTIFIC INC
|
129,886 |
shares
|
14,462,806 | |||||||
THOMSON REUTERS CORP
|
45,533 |
shares
|
1,721,469 | |||||||
THOR INDUSTRIES INC
|
124,500 |
shares
|
6,876,135 | |||||||
TIDEWATER INC
|
143,800 |
shares
|
8,523,026 | |||||||
TIKKURILA
|
5,177 |
shares
|
141,960 | |||||||
TIM HORTONS INC
|
53,509 |
shares
|
3,121,904 | |||||||
TIM PARTICIPACOES
|
13,762 |
shares
|
361,115 | |||||||
TIME WARNER CABLE INC
|
174,200 |
shares
|
23,604,100 | |||||||
TIME WARNER INC
|
405,600 |
shares
|
28,278,432 | |||||||
TIMKEN CO
|
242,000 |
shares
|
13,326,940 | |||||||
TJX COS INC
|
243,823 |
shares
|
15,538,840 | |||||||
TNT EXPRESS
|
105,868 |
shares
|
984,404 | |||||||
TOFAS OTOMOBIL FAB
|
79,703 |
shares
|
497,100 | |||||||
TOKIO MARINE HOLDINGS INC
|
27,000 |
shares
|
902,954 | |||||||
TOKYO ELECTRON
|
7,700 |
shares
|
421,978 | |||||||
TOKYO TATEMONO CO
|
179,500 |
shares
|
1,994,729 | |||||||
TOLL HLDGS LIMITED
|
198,353 |
shares
|
1,007,953 | |||||||
TOP GLOVE CORP BHD
|
284,723 |
shares
|
489,388 | |||||||
TOPPAN PRINTING
|
96,000 |
shares
|
768,146 | |||||||
TOSHIBA PLANT SYSTEMS & SERV
|
11,000 |
shares
|
164,207 | |||||||
TOTVS SA COM
|
23,300 |
shares
|
365,018 | |||||||
TOYODA GOSEI
|
31,700 |
shares
|
738,023 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
TOYOTA BOSHOKU CP
|
31,500 |
shares
|
$ | 393,506 | ||||||
TOYOTA INDUSTRIES CORP
|
19,600 |
shares
|
884,848 | |||||||
TOYOTA MOTOR CORP
|
81,800 |
shares
|
9,973,056 | |||||||
TOYOTA MOTOR CORP
|
100,800 |
shares
|
6,157,043 | |||||||
TOYOTA TSUSHU CORP
|
29,800 |
shares
|
738,018 | |||||||
TRACTEBEL ENERGIA COM NPV
|
23,400 |
shares
|
356,468 | |||||||
TRANSDIGM GROUP INC
|
42,300 |
shares
|
6,811,146 | |||||||
TRAVELERS COS INC
|
150,200 |
shares
|
13,599,108 | |||||||
TRAVIS PERKINS
|
13,723 |
shares
|
425,482 | |||||||
TRINITY INDUSTRIES INC
|
186,690 |
shares
|
10,178,339 | |||||||
TRIPADVISOR INC
|
46,220 |
shares
|
3,828,403 | |||||||
TRIQUINT SEMICONDUCTOR INC
|
230,100 |
shares
|
1,919,034 | |||||||
TRYG
|
7,244 |
shares
|
701,775 | |||||||
TSUMURA & CO
|
18,000 |
shares
|
477,465 | |||||||
TURKCELL ILETISIM HIZMET
|
35,399 |
shares
|
472,577 | |||||||
TURKIYE GARANTI BANKASI
|
1,864,363 |
shares
|
6,039,547 | |||||||
TURKIYE VAKIFLAR BANKASI
|
350,655 |
shares
|
623,459 | |||||||
TWENTY FIRST CENTURY FOX INC
|
442,454 |
shares
|
15,565,532 | |||||||
TWITTER INC
|
64,028 |
shares
|
4,075,382 | |||||||
TYCO INTERNATIONAL LTD
|
120,000 |
shares
|
4,924,800 | |||||||
UBI BANCA SCPA
|
184,448 |
shares
|
1,254,534 | |||||||
UDR INC
|
119,900 |
shares
|
2,799,665 | |||||||
UGI CORP
|
66,200 |
shares
|
2,744,652 | |||||||
ULTA SALON COSMETICS & FRAGRANCE
|
40,200 |
shares
|
3,880,104 | |||||||
ULTIMATE SOFTWARE GROUP INC
|
68,700 |
shares
|
10,526,214 | |||||||
UNDER ARMOUR INC
|
79,986 |
shares
|
6,982,778 | |||||||
UNIBAIL-RODAMCO
|
1,732 |
shares
|
444,506 | |||||||
UNIBAIL-RODAMCO SE
|
39,035 |
shares
|
10,018,067 | |||||||
UNICHARM CORP
|
16,900 |
shares
|
964,750 | |||||||
UNICREDIT SPA
|
1,658,706 |
shares
|
12,296,603 | |||||||
UNILEVER PLC
|
80,000 |
shares
|
3,296,000 | |||||||
UNION PACIFIC CORP
|
138,121 |
shares
|
23,204,328 | |||||||
UNITE GROUP
|
44,820 |
shares
|
298,863 | |||||||
UNITED INTERNET
|
9,179 |
shares
|
391,082 | |||||||
UNITED NATURAL FOODS INC
|
165,500 |
shares
|
12,477,045 | |||||||
UNITED TECHNOLOGIES CORP
|
236,990 |
shares
|
26,969,462 | |||||||
UNITED URBAN INVESTMENT UNITED
|
1,173 |
shares
|
1,688,549 | |||||||
UNITEDHEALTH GROUP INC
|
70,022 |
shares
|
5,272,657 | |||||||
UNIVERSAL HEALTH SERVICES INC
|
43,240 |
shares
|
3,513,682 | |||||||
UNUM GROUP
|
257,900 |
shares
|
9,047,132 | |||||||
UOL GROUP LIMITED
|
224,000 |
shares
|
1,098,178 | |||||||
UPM-KYMMENE OY
|
39,927 |
shares
|
675,614 | |||||||
URS CORP
|
195,800 |
shares
|
10,375,442 | |||||||
US BANCORP
|
227,000 |
shares
|
9,170,800 | |||||||
USHIO ELECTRIC
|
40,800 |
shares
|
541,904 | |||||||
USS
|
42,000 |
shares
|
577,023 | |||||||
UTI WORLDWIDE INC
|
336,000 |
shares
|
5,900,160 | |||||||
VALE
|
313,000 |
shares
|
4,385,130 | |||||||
VALEANT PHARMACEUTICALS INTERNATIONAL
|
1,847 |
shares
|
216,634 | |||||||
VALERO ENERGY CORP
|
281,000 |
shares
|
14,162,400 | |||||||
VANTIV INC
|
244,900 |
shares
|
7,986,189 | |||||||
VASTNED RETAIL
|
2,324 |
shares
|
105,630 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
VCA ANTECH INC
|
118,700 |
shares
|
$ | 3,722,432 | ||||||
VECTREN CORP
|
71,900 |
shares
|
2,552,450 | |||||||
VENTAS INC
|
47,742 |
shares
|
2,734,662 | |||||||
VENTURE CORP LTD
|
77,000 |
shares
|
468,367 | |||||||
VERBUND
|
37,097 |
shares
|
793,093 | |||||||
VERIFONE SYSTEMS INC
|
265,692 |
shares
|
7,125,859 | |||||||
VERISIGN INC
|
229,605 |
shares
|
13,725,787 | |||||||
VERIZON COMMUNICATIONS INC
|
64,248 |
shares
|
3,157,147 | |||||||
VERTEX PHARMACEUTICALS INC
|
123,889 |
shares
|
9,204,953 | |||||||
VICTREX ORD
|
16,962 |
shares
|
516,074 | |||||||
VIRBAC
|
5,461 |
shares
|
1,168,630 | |||||||
VISA INC
|
176,139 |
shares
|
39,222,633 | |||||||
VISCOFAN
|
13,003 |
shares
|
740,888 | |||||||
VISHAY INTERTECHNOLOGY INC
|
218,200 |
shares
|
2,893,332 | |||||||
VIVENDI
|
57,610 |
shares
|
1,520,595 | |||||||
VMWARE INC
|
99,178 |
shares
|
8,897,258 | |||||||
VODAFONE GROUP
|
814,037 |
shares
|
3,195,350 | |||||||
VODAFONE GROUP PLC
|
364,681 |
shares
|
14,335,610 | |||||||
VOESTALPINE
|
4,455 |
shares
|
214,427 | |||||||
VOLCANO CORP
|
132,300 |
shares
|
2,890,755 | |||||||
VOLKSWAGEN
|
21,981 |
shares
|
5,963,849 | |||||||
VORNADO REALTY TRUST
|
188,208 |
shares
|
16,710,988 | |||||||
VTECH HOLDINGS LTD
|
101,456 |
shares
|
1,317,636 | |||||||
VULCAN MATERIALS CO
|
115,450 |
shares
|
6,860,039 | |||||||
WABCO HOLDINGS INC
|
132,750 |
shares
|
12,400,178 | |||||||
WADDELL & REED FINANCIAL INC
|
53,700 |
shares
|
3,496,944 | |||||||
WAGEWORKS INC
|
92,000 |
shares
|
5,468,480 | |||||||
WALGREEN CO
|
241,850 |
shares
|
13,891,864 | |||||||
WAL-MART STORES INC
|
165,200 |
shares
|
12,999,588 | |||||||
WALT DISNEY CO
|
297,028 |
shares
|
22,692,939 | |||||||
WANT WANT CHINA HOLDINGS LTD
|
255,854 |
shares
|
369,571 | |||||||
WEATHERFORD INTERNATIONAL LTD
|
270,000 |
shares
|
4,182,300 | |||||||
WELLCARE HEALTH PLANS INC
|
27,600 |
shares
|
1,943,592 | |||||||
WELLS FARGO & CO
|
854,952 |
shares
|
38,814,821 | |||||||
WENDEL
|
9,679 |
shares
|
1,413,074 | |||||||
WERELDHAVE
|
4,116 |
shares
|
324,248 | |||||||
WESCO INTERNATIONAL INC
|
90,000 |
shares
|
8,196,300 | |||||||
WEST CORP
|
133,350 |
shares
|
3,428,429 | |||||||
WESTERN ALLIANCE BANCORP
|
196,000 |
shares
|
4,676,560 | |||||||
WESTERN UNION
|
800,200 |
shares
|
13,803,450 | |||||||
WESTFIELD GROUP
|
589,774 |
shares
|
5,323,901 | |||||||
WESTFIELD RETAIL TRUST
|
1,126,203 |
shares
|
2,992,446 | |||||||
WEX INC
|
113,750 |
shares
|
11,264,663 | |||||||
WEYERHAEUSER CO
|
295,800 |
shares
|
9,338,406 | |||||||
WHARF HOLDINGS
|
868,770 |
shares
|
6,644,277 | |||||||
WHEELOCK & CO LTD
|
213,000 |
shares
|
979,326 | |||||||
WHITBREAD
|
60,841 |
shares
|
3,779,804 | |||||||
WHITEWAVE FOODS CO
|
260,000 |
shares
|
5,964,400 | |||||||
WHITING PETROLEUM CORP
|
83,000 |
shares
|
5,135,210 | |||||||
WHOLE FOODS MARKET INC
|
176,396 |
shares
|
10,200,981 | |||||||
WILLIAM DEMANT
|
771 |
shares
|
75,048 | |||||||
WILLIAM HILL
|
64,576 |
shares
|
429,848 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common stock (continued) | ||||||||||
WING HANG BANK
|
47,840 |
shares
|
$ | 721,880 | ||||||
WINTHROP REALTY TRUST
|
12,560 |
shares
|
138,788 | |||||||
WNS HOLDINGS LTD
|
389,885 |
shares
|
8,542,380 | |||||||
WOLSELEY
|
2,677 |
shares
|
151,857 | |||||||
WOODSIDE PETROLEUM
|
78,600 |
shares
|
2,735,428 | |||||||
WOODWARD INC
|
108,800 |
shares
|
4,962,368 | |||||||
WOOLWORTHS HOLDINGS
|
83,005 |
shares
|
591,605 | |||||||
WOOLWORTHS LIMITED
|
2,744 |
shares
|
83,099 | |||||||
WORKDAY INC
|
73,730 |
shares
|
6,131,387 | |||||||
WORLEYPARSONS LTD
|
29,700 |
shares
|
441,080 | |||||||
WPX ENERGY INC
|
645,200 |
shares
|
13,149,176 | |||||||
WUMART STORES INC
|
189,486 |
shares
|
307,919 | |||||||
WYNDHAM WORLDWIDE CORP
|
69,200 |
shares
|
5,099,348 | |||||||
WYNN MACAU LTD
|
302,800 |
shares
|
1,372,680 | |||||||
XEROX CORP
|
314,500 |
shares
|
3,827,465 | |||||||
XL AXIATA TBK PT
|
1,489,113 |
shares
|
636,266 | |||||||
XL GROUP PLC
|
491,091 |
shares
|
15,636,337 | |||||||
YAHOO JAPAN CORP
|
62,900 |
shares
|
350,093 | |||||||
YAMADA DENKI CO
|
31,600 |
shares
|
103,424 | |||||||
YAMAHA CORP
|
24,300 |
shares
|
385,868 | |||||||
YAMAHA MOTOR CO
|
56,800 |
shares
|
852,230 | |||||||
YAMANA GOLD INC
|
694,900 |
shares
|
5,990,038 | |||||||
YAMATO HOLDINGS CO LTD
|
60,600 |
shares
|
1,225,780 | |||||||
YAPI VE KREDI BANKASI
|
5,479 |
shares
|
9,487 | |||||||
YASKAWA ELECTRIC MFG
|
41,000 |
shares
|
648,713 | |||||||
YOKOGAWA ELECTRIC CORP
|
16,500 |
shares
|
253,532 | |||||||
YOUKU TUDOU INC
|
115,685 |
shares
|
3,505,256 | |||||||
YUANTA FINANCIAL HLDG CO LTD
|
895,000 |
shares
|
534,535 | |||||||
ZIGGO BV
|
63,082 |
shares
|
2,885,872 | |||||||
ZIONS BANCORPORATION
|
199,230 |
shares
|
5,968,903 | |||||||
Total common stock
|
$ | 5,958,578,952 |
Preferred stock
|
|||||||||||
BAYERISCHE MOTOREN WERKE-PRF
|
5,167 |
shares
|
$ | 442,073 | |||||||
CHESAPEAKE ENERGY CORP
|
5,800 |
shares
|
6,767,875 | ||||||||
CITIGROUP CAPITAL XIII
|
104,500 |
shares
|
2,847,625 | ||||||||
FUCHS PETROLUB
|
8,715 |
shares
|
853,108 | ||||||||
HENKEL AG & CO
|
9,383 |
shares
|
1,090,069 | ||||||||
METRO AG
|
5,706 |
shares
|
210,757 | ||||||||
PORSCHE AUTOMOBILE HOLDING
|
76,696 |
shares
|
7,995,995 | ||||||||
RWE
|
6,155 |
shares
|
197,190 | ||||||||
USINAS SIDERURGICAS DE MINAS G
|
63,400 |
shares
|
381,865 | ||||||||
VOLKSWAGEN
|
10,718 |
shares
|
3,015,064 | ||||||||
WELLS FARGO
|
100 |
shares
|
110,500 | ||||||||
Total preferred stock
|
$ | 23,912,121 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Common collective trusts
|
||||||||||||
BGI MSCI ACWI EX-US INDEX
|
20,128,205 |
units
|
$ | 448,106,174 | ||||||||
BLACKROCK RUSSELL 1000 INDEX
|
83,308,803 |
units
|
1,814,207,474 | |||||||||
BLACKROCK RUSSELL 2500 INDEX
|
39,590,746 |
units
|
787,939,181 | |||||||||
BLACKROCK US DEBT INDEX
|
13,228,600 |
units
|
361,425,197 | |||||||||
JP MORGAN FOCUS
|
13,438,049 |
units
|
231,940,730 | |||||||||
LAZARD EMERGING MARKETS CL C
|
13,530,722 |
units
|
231,104,738 | |||||||||
Total common collective trusts
|
$ | 3,874,723,494 | ||||||||||
Partnership interest
|
||||||||||||
INVESTEC GDR FUND LLC
|
852,135 |
units
|
$ | 88,443,113 |
Corporate debt | |||||||||||
1345 AVENUE OF THE AMERICAS
|
$ | 400,000 | principal, | 5.278%, due 08/10/2035 | $ | 436,905 | |||||
ACCESS MIDSTREAM PARTNERS LP
|
1,346,000 | principal, | 4.875%, due 05/15/2023 | 1,298,890 | |||||||
ACCESS MIDSTREAM PARTNERS LP
|
289,000 | principal, | 5.875%, due 04/15/2021 | 307,785 | |||||||
ACTIVISION BLIZZARD INC
|
1,339,000 |
principal,
|
5.625%, due 09/15/2021
|
1,385,865 | |||||||
ADT CORP
|
800,000 |
principal,
|
4.875%, due 07/15/2042
|
602,003 | |||||||
AES CORP
|
551,000 |
principal,
|
7.375%, due 07/01/2021
|
621,253 | |||||||
AFFINIA
|
176,115 |
principal,
|
4.750%, due 04/25/2020
|
178,316 | |||||||
AIR LEASE CORP
|
457,000 |
principal,
|
4.750%, due 03/01/2020
|
474,709 | |||||||
AK STEEL CORP
|
1,060,000 |
principal,
|
7.625%, due 05/15/2020
|
1,057,350 | |||||||
AK STEEL CORP
|
260,000 |
principal,
|
8.750%, due 12/01/2018
|
290,550 | |||||||
ALABAMA POWER CO
|
100,000 |
principal,
|
6.125%, due 05/15/2038
|
118,185 | |||||||
ALBEA BEAUTY HOLDINGS SA
|
950,000 |
principal,
|
8.375%, due 11/01/2019
|
988,000 | |||||||
ALERE INC
|
1,025,000 |
principal,
|
8.625%, due 10/01/2018
|
1,107,000 | |||||||
ALERIS INTERNATIONAL INC
|
1,500,000 |
principal,
|
7.875%, due 11/01/2020
|
1,593,750 | |||||||
ALLEGHENY ENERGY SUPPLY C
|
300,000 |
principal,
|
6.750%, due 10/15/2039
|
281,080 | |||||||
ALLEGION US HOLDING CO IN
|
336,000 |
principal,
|
5.750%, due 10/01/2021
|
349,440 | |||||||
ALLIANCE DATA SYSTEMS COR
|
1,046,000 |
principal,
|
6.375%, due 04/01/2020
|
1,095,685 | |||||||
ALLIANT TECHSYSTEMS INC
|
1,430,000 |
principal,
|
6.875%, due 09/15/2020
|
1,542,613 | |||||||
ALLISON TRANSMISSION INC
|
608,000 |
principal,
|
7.125%, due 05/15/2019
|
655,120 | |||||||
ALLY AUTO RECEIVABLES
|
713,000 |
principal,
|
1.240%, due 11/15/2018
|
708,865 | |||||||
ALLY FINANCIAL INC
|
2,223,000 |
principal,
|
8.000%, due 03/15/2020
|
2,664,821 | |||||||
ALLY FINANCIAL INC
|
621,000 |
principal,
|
4.750%, due 09/10/2018
|
649,721 | |||||||
ALLY FINANCIAL INC
|
300,000 |
principal,
|
VAR RT, due 02/11/2014
|
300,720 | |||||||
ALLY FINANCIAL INC
|
200,000 |
principal,
|
6.750%, due 12/01/2014
|
209,500 | |||||||
ALLY FINANCIAL INC
|
2,100,000 |
principal,
|
4.500%, due 02/11/2014
|
2,107,875 | |||||||
ALPHA NATURAL RESOURCES INC
|
1,099,000 |
principal,
|
6.250%, due 06/01/2021
|
939,645 | |||||||
ALPHA NATURAL RESOURCES INC
|
67,000 |
principal,
|
6.000%, due 06/01/2019
|
57,788 | |||||||
ALPHA NATURAL RESOURCES INC
|
170,000 |
principal,
|
9.750%, due 04/15/2018
|
180,200 | |||||||
ALPHABET HOLDING CO INC
|
283,000 |
principal,
|
7.750%, due 11/01/2017
|
291,844 | |||||||
ALTERNATIVE LOAN TRUST
|
50,304 |
principal,
|
VAR RT, due 02/25/2037
|
37,853 | |||||||
ALTRIA GROUP INC
|
65,000 |
principal,
|
9.950%, due 11/10/2038
|
99,151 | |||||||
ALTRIA GROUP INC
|
290,000 |
principal,
|
10.200%, due 02/06/2039
|
452,462 | |||||||
AMC NETWORKS INC
|
1,000,000 |
principal,
|
7.750%, due 07/15/2021
|
1,125,000 | |||||||
AMC NETWORKS INC
|
741,000 |
principal,
|
4.750%, due 12/15/2022
|
705,803 | |||||||
AMERICA MOVIL SAB DE CV
|
200,000 |
principal,
|
6.125%, due 11/15/2037
|
211,134 | |||||||
AMERICA MOVIL SAB DE CV
|
100,000 |
principal,
|
6.125%, due 03/30/2040
|
105,812 | |||||||
AMERICA MOVIL SAB DE CV
|
800,000 |
principal,
|
VAR RT, due 09/12/2016
|
808,299 | |||||||
AMERICAN AXLE & MANUFACTURING
|
627,000 |
principal,
|
6.625%, due 10/15/2022
|
659,918 | |||||||
AMERICAN AXLE & MANUFACTURING
|
279,000 |
principal,
|
5.125%, due 02/15/2019
|
286,673 | |||||||
AMERICAN BUILDERS & CONTR
|
568,000 |
principal,
|
5.625%, due 04/15/2021
|
570,840 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
AMERICAN EXPRESS CREDIT
|
$ | 742,000 |
principal,
|
VAR RT, due 05/17/2021
|
$ | 743,487 | |||||
AMERICAN EXPRESS CO
|
810,000 |
principal,
|
4.050%, due 12/03/2042
|
712,658 | |||||||
AMERICAN EXPRESS ISSUANCE
|
1,608,000 |
principal,
|
VAR RT, due 02/15/2019
|
1,601,045 | |||||||
AMERICAN EXPRESS ISSUANCE
|
862,000 |
principal,
|
VAR RT, 08/15/2019
|
864,440 | |||||||
AMERICAN HONDA FINANCE CO
|
2,000,000 |
principal,
|
1.500%, due 09/11/2017
|
1,970,478 | |||||||
AMERICAN INTERNATIONAL GROUP I
|
700,000 |
principal,
|
6.250%, due 05/01/2036
|
811,148 | |||||||
AMERICAN INTERNATIONAL GROUP I
|
100,000 |
principal,
|
VAR RT, due 05/15/2068
|
121,000 | |||||||
AMERICAN INTERNATIONAL GROUP I
|
2,250,000 |
principal,
|
VAR RT, due 03/15/2067
|
3,675,136 | |||||||
AMERICREDIT AUTOMOBILE
|
1,373,000 |
principal,
|
0.680%, due 10/11/2016
|
1,373,578 | |||||||
AMERIGAS FINANCE LLC
|
1,175,000 |
principal,
|
7.000%, due 05/20/2022
|
1,274,875 | |||||||
AMGEN INC
|
100,000 |
principal,
|
6.375%, due 06/01/2037
|
114,686 | |||||||
AMGEN INC
|
100,000 |
principal,
|
6.900%, due 06/01/2038
|
121,061 | |||||||
AMGEN INC
|
800,000 |
principal,
|
5.650%, due 06/15/2042
|
847,229 | |||||||
AMGEN INC
|
2,000,000 |
principal,
|
5.150%, due 11/15/2041
|
1,992,572 | |||||||
AMSTED INDUSTRIES INC
|
1,895,000 |
principal,
|
8.125%, due 03/15/2018
|
1,996,856 | |||||||
ANADARKO FINANCE CO
|
100,000 |
principal,
|
7.500%, due 05/01/2031
|
121,581 | |||||||
ANADARKO PETROLEUM CORP
|
100,000 |
principal,
|
6.200%, due 03/15/2040
|
110,614 | |||||||
ANADARKO PETROLEUM CORP
|
1,200,000 |
principal,
|
6.450%, due 09/15/2036
|
1,347,522 | |||||||
ANCESTRY.COM INC
|
183,000 |
principal,
|
9.625%, due 10/15/2018
|
189,405 | |||||||
ANHEUSER-BUSCH INBEV FINANCE I
|
6,000,000 |
principal,
|
1.250%, due 01/17/2018
|
5,870,580 | |||||||
ANHEUSER-BUSCH INBEV WORLDWIDE
|
100,000 |
principal,
|
6.375%, due 01/15/2040
|
121,988 | |||||||
ANTERO RESOURCES FINANCE
|
282,000 |
principal,
|
5.375%, due 11/01/2021
|
284,820 | |||||||
APERAM
|
750,000 |
principal,
|
7.375%, due 04/01/2016
|
770,625 | |||||||
APPALACHIAN POWER CO
|
240,000 |
principal,
|
6.700%, due 08/15/2037
|
277,985 | |||||||
APPALACHIAN POWER CO
|
500,000 |
principal,
|
7.000%, due 04/01/2038
|
603,923 | |||||||
APX GROUP INC
|
931,000 |
principal,
|
6.375%, due 12/01/2019
|
944,965 | |||||||
APX GROUP INC
|
470,000 |
principal,
|
8.750%, due 12/01/2020
|
479,400 | |||||||
APX GROUP INC
|
316,000 |
principal,
|
8.750%, due 12/01/2020
|
321,530 | |||||||
ARAMARK CORP
|
2,097,000 |
principal,
|
5.750%, due 03/15/2020
|
2,191,365 | |||||||
ARCELORMITTAL
|
2,130,000 |
principal,
|
STEP, due 10/15/2039
|
2,092,725 | |||||||
ARCELORMITTAL
|
2,108,000 |
principal,
|
STEP, due 02/25/2022
|
2,292,451 | |||||||
ARCH COAL INC
|
718,000 |
principal,
|
6.25%, due 05/16/2018
|
707,381 | |||||||
ARCH COAL INC
|
775,000 |
principal,
|
7.250%, due 06/15/2021
|
592,875 | |||||||
ARCH COAL INC
|
1,255,000 |
principal,
|
8.000%, due 01/15/2019
|
1,251,863 | |||||||
ARDAGH PACKAGING FINANCE
|
775,000 |
principal,
|
7.375%, due 10/15/2017
|
832,156 | |||||||
ARDAGH PACKAGING FINANCE
|
500,000 |
principal,
|
7.000%, due 11/15/2020
|
505,000 | |||||||
ASHLAND INC
|
575,000 |
principal,
|
STEP, due 08/15/2022
|
546,250 | |||||||
ASHTEAD CAPITAL INC
|
237,000 |
principal,
|
6.500%, due 07/15/2022
|
252,701 | |||||||
AT&T CORP
|
1,975,000 |
principal,
|
VAR RT, due 11/15/2031
|
2,628,583 | |||||||
AT&T INC
|
525,000 |
principal,
|
6.550%, due 02/15/2039
|
596,032 | |||||||
AT&T INC
|
690,000 |
principal,
|
6.500%, due 09/01/2037
|
776,204 | |||||||
AT&T INC
|
1,100,000 |
principal,
|
5.550%, due 08/15/2041
|
1,116,346 | |||||||
AT&T INC
|
630,000 |
principal,
|
4.350%, due 06/15/2045
|
533,353 | |||||||
AT&T INC
|
100,000 |
principal,
|
5.350%, due 09/01/2040
|
98,943 | |||||||
AT&T INC
|
5,000,000 |
principal,
|
5.600%, due 05/15/2018
|
5,678,035 | |||||||
ATHLON HOLDINGS LP
|
685,000 |
principal,
|
7.375%, due 04/15/2021
|
719,250 | |||||||
ATLAS PIPELINE PARTNERS
|
125,000 |
principal,
|
4.750%, due 11/15/2021
|
114,375 | |||||||
ATLAS PIPELINE PARTNERS LP
|
900,000 |
principal,
|
6.625%, due 10/01/2020
|
940,500 | |||||||
ATWOOD OCEANICS INC
|
1,397,000 |
principal,
|
6.500%, due 02/01/2020
|
1,491,298 | |||||||
AUDATEX NORTH AMERICA INC
|
204,000 |
principal,
|
6.000%, due 06/15/2021
|
213,690 | |||||||
AUDATEX NORTH AMERICA INC
|
204,000 |
principal,
|
6.125%, due 11/01/2023
|
210,120 | |||||||
AURORA USA OIL & GAS INC
|
627,000 |
principal,
|
7.500%, due 04/01/2020
|
645,810 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||||||
AUTONATION INC
|
$ | 704,000 |
principal,
|
5.500%, due 02/01/2020
|
$ | 755,920 | |||||||
AVIS BUDGET CAR RENTAL LLC
|
1,500,000 |
principal,
|
5.500%, due 04/01/2023
|
1,453,125 | |||||||||
B&G FOODS INC
|
659,000 |
principal,
|
4.625%, due 06/01/2021
|
632,640 | |||||||||
B/E AEROSPACE INC
|
1,962,000 |
principal,
|
5.250%, due 04/01/2022
|
1,991,430 | |||||||||
BAC CAPITAL TRUST XI
|
3,205,000 |
principal,
|
6.625%, due 05/23/2036
|
3,443,574 | |||||||||
BANCO DO BRASIL
|
100,000 |
principal,
|
6.000%, due 01/22/2020
|
105,500 | |||||||||
BANCO SANTANDER BRASIL
|
2,200,000 |
principal,
|
4.500%, due 04/06/2015
|
2,260,500 | |||||||||
BANCO SANTANDER CHILE
|
1,500,000 |
principal,
|
VAR RT, due 01/19/2016
|
1,489,500 | |||||||||
BANCO SANTANDER MEXICO
|
600,000 |
principal,
|
4.125%, due 11/09/2022
|
565,500 | |||||||||
BANCO VOTORANTIM
|
300,000 |
principal,
|
5.250%, due 02/11/2016
|
309,750 | |||||||||
BANK OF AMERICA CORP
|
3,920,000 |
principal,
|
7.625%, due 06/01/2019
|
4,862,082 | |||||||||
BANK OF AMERICA CORP
|
2,300,000 |
principal,
|
5.650%, due 05/01/2018
|
2,618,019 | |||||||||
BANK OF AMERICA CORP
|
150,000 |
principal,
|
7.375%, due 05/15/2014
|
153,733 | |||||||||
BANK OF AMERICA CORP
|
9,900,000 |
principal,
|
5.750%, due 12/01/2017
|
11,267,319 | |||||||||
BANK OF AMERICA NA
|
40,000 |
principal,
|
6.000%, due 10/15/2036
|
45,906 | |||||||||
BANK OF AMERICA NA
|
200,000 |
principal,
|
VAR RT, due 06/15/2016
|
198,208 | |||||||||
BANK ONE CAPITAL III
|
160,000 |
principal,
|
8.750%, due 09/01/2030
|
205,032 | |||||||||
BARCLAYS BANK PLC
|
2,000,000 |
principal,
|
2.375%, due 01/13/2014
|
2,001,090 | |||||||||
BARCLAYS BANK PLC
|
80,000 |
principal,
|
10.179%, due 06/12/2021
|
105,742 | |||||||||
BARRICK GOLD CORP
|
10,000 |
principal,
|
5.800%, due 11/15/2034
|
8,461 | |||||||||
BARRICK GOLD CORP
|
1,100,000 |
principal,
|
5.250%, due 04/01/2042
|
917,552 | |||||||||
BARRICK PD AUSTRALIA FINANCE P
|
100,000 |
principal,
|
5.950%, due 10/15/2039
|
86,524 | |||||||||
BASIC ENERGY SERVICES INC
|
1,316,000 |
principal,
|
7.750%, due 02/15/2019
|
1,375,220 | |||||||||
BERKSHIRE HATHAWAY FINANCE COR
|
5,000,000 |
principal,
|
1.500%, due 01/10/2014
|
5,001,165 | |||||||||
BERRY PETROLEUM CO
|
1,250,000 |
principal,
|
6.375%, due 09/15/2022
|
1,271,875 | |||||||||
BG ENERGY CAPITAL PLC
|
1,200,000 |
principal,
|
5.125%, due 10/15/2041
|
1,230,532 | |||||||||
BIOMET INC
|
280,000 |
principal,
|
6.500%, due 10/01/2020
|
288,400 | |||||||||
BIOMET INC
|
724,000 |
principal,
|
6.500%, due 08/01/2020
|
760,200 | |||||||||
BLACKROCK INC
|
5,185,000 |
principal,
|
1.375%, due 06/01/2015
|
5,249,895 | |||||||||
BNSF RAILWAY CO
|
836,997 |
principal,
|
5.996%, due 04/01/2024
|
922,862 | |||||||||
BOMBARDIER INC
|
1,200,000 |
principal,
|
5.750%, due 03/15/2022
|
1,191,000 | |||||||||
BOMBARDIER INC
|
145,000 |
principal,
|
7.750%, due 03/15/2020
|
164,575 | |||||||||
BOMBARDIER INC
|
586,000 |
principal,
|
6.125%, due 01/15/2023
|
581,605 | |||||||||
BOSTON PROPERTIES LP
|
200,000 |
principal,
|
5.875%, due 10/15/2019
|
229,668 | |||||||||
BOSTON PROPERTIES LP
|
1,900,000 |
principal,
|
4.125%, due 05/15/2021
|
1,941,029 | |||||||||
BOSTON PROPERTIES LP
|
750,000 |
principal,
|
3.125%, due 09/01/2023
|
685,042 | |||||||||
BOSTON PROPERTIES LP
|
525,000 |
principal,
|
3.800%, due 02/01/2024
|
503,455 | |||||||||
BOSTON PROPERTIES LP
|
675,000 |
principal,
|
3.850%, due 02/01/2023
|
659,507 | |||||||||
BOSTON SCIENTIFIC CORP
|
400,000 |
principal,
|
7.375%, due 01/15/2040
|
496,997 | |||||||||
BOSTON SCIENTIFIC CORP
|
250,000 |
principal,
|
6.000%, due 01/15/2020
|
287,008 | |||||||||
BOSTON SCIENTIFIC CORP
|
2,855,000 |
principal,
|
VAR RT, due 11/15/2015
|
3,118,417 | |||||||||
BOSTON SCIENTIFIC CORP
|
1,250,000 |
principal,
|
6.400%, due 06/15/2016
|
1,394,076 | |||||||||
BOYD GAMING CORP
|
80,000 |
principal,
|
9.000%, due 07/01/2020
|
87,600 | |||||||||
BP CAPITAL MARKETS PLC
|
1,000,000 |
principal,
|
3.245%, due 05/06/2022
|
969,262 | |||||||||
BRICKMAN GROUP
|
115,000 |
principal,
|
0.000%, due 12/17/2021
|
117,408 | |||||||||
BRIGGS & STRATTON CORP
|
950,000 |
principal,
|
6.875%, due 12/15/2020
|
1,043,813 | |||||||||
BRISTOW GROUP INC
|
1,250,000 |
principal,
|
6.250%, due 10/15/2022
|
1,319,625 | |||||||||
BROOKFIELD RESIDENTIAL PROPERTY
|
171,000 |
principal,
|
6.125%, due 07/01/2022
|
171,855 | |||||||||
BUILDING MATERIALS CORP
|
1,600,000 |
principal,
|
6.750%, due 05/01/2021
|
1,732,000 | |||||||||
BURLINGTON COAT FACTORY WAREHOUSE
|
418,000 |
principal,
|
10.000%, due 02/15/2019
|
470,773 | |||||||||
BURLINGTON HOLDINGS LLC
|
77,000 |
principal,
|
9.000%, due 02/15/2018
|
78,925 | |||||||||
BURLINGTON NORTHERN SANTA FE
|
59,693 |
principal,
|
8.251%, due 01/15/2021
|
70,847 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
BURLINGTON NORTHERN SANTA FE
|
$ | 216,572 |
principal,
|
7.570%, due 01/02/2021
|
$ | 253,103 | |||||
BURLINGTON NORTHERN SANTA FE
|
1,400,000 |
principal,
|
4.100%, due 06/01/2021
|
1,438,188 | |||||||
BURLINGTON NORTHERN SANTA FE
|
1,500,000 |
principal,
|
5.050%, due 03/01/2041
|
1,487,871 | |||||||
BURLINGTON NORTHERN SANTA FE
|
1,000,000 |
principal,
|
4.400%, due 03/15/2042
|
891,075 | |||||||
BURLINGTON NORTHERN SANTA FE
|
1,965,000 |
principal,
|
4.700%, due 10/01/2019
|
2,155,625 | |||||||
BURLINGTON NORTHERN SANTA FE
|
5,530,000 |
principal,
|
5.750%, due 03/15/2018
|
6,304,648 | |||||||
CFCRE COMMERCIAL MO
|
639,649 |
principal,
|
1.871%, due 04/15/2044
|
646,673 | |||||||
CAESARS ENTERTAINMENT OPERATING
|
425,000 |
principal,
|
8.500%, due 02/15/2020
|
409,063 | |||||||
CAESARS OPER ESCROW LLC
|
4,186,000 |
principal,
|
9.000%, due 02/15/2020
|
4,070,885 | |||||||
CALIFORNIA REPUBLIC
|
1,314,000 |
principal,
|
1.230%, due 03/15/2019
|
1,313,013 | |||||||
CALPINE CORP
|
1,133,000 |
principal,
|
7.875%, due 07/31/2020
|
1,240,635 | |||||||
CALPINE CORP
|
371,000 |
principal,
|
6.000%, due 01/15/2022
|
380,275 | |||||||
CALPINE CORP
|
437,000 |
principal,
|
7.500%, due 02/15/2021
|
476,876 | |||||||
CAMERON INTERNATIONAL CORP
|
300,000 |
principal,
|
5.950%, due 06/01/2041
|
325,947 | |||||||
CANADIAN NATURAL RESOURCES LTD
|
400,000 |
principal,
|
6.250%, due 03/15/2038
|
448,212 | |||||||
CAPITAL AUTO RECEIVABLES
|
974,000 |
principal,
|
0.790%, due 06/20/2017
|
972,828 | |||||||
CAPITAL AUTO RECEIVABLES
|
1,645,000 |
principal,
|
1.040%, due 11/21/2016
|
1,650,292 | |||||||
CAPITAL ONE FINANCIAL CORP
|
600,000 |
principal,
|
4.750%, due 07/15/2021
|
638,009 | |||||||
CAPITAL ONE FINANCIAL CORP
|
2,827,000 |
principal,
|
3.500%, due 06/15/2023
|
2,653,728 | |||||||
CAPSUGEL SA
|
172,000 |
principal,
|
7.000%, due 05/15/2019
|
175,225 | |||||||
CARLYLE HOLDINGS II
|
600,000 |
principal,
|
5.625%, due 03/30/2043
|
589,810 | |||||||
CASE NEW HOLLAND INC
|
1,805,000 |
principal,
|
7.875%, due 12/01/2017
|
2,129,900 | |||||||
CATERPILLAR FINANCIAL SERVICES
|
5,000,000 |
principal,
|
1.375%, due 05/20/2014
|
5,019,490 | |||||||
CATERPILLAR INC
|
3,100,000 |
principal,
|
1.500%, due 06/26/2017
|
3,084,974 | |||||||
CBRE SERVICES INC
|
573,000 |
principal,
|
5.000%, due 03/15/2023
|
550,796 | |||||||
CCO HOLDINGS LLC
|
1,300,000 |
principal,
|
5.750%, due 09/01/2023
|
1,231,750 | |||||||
CCO HOLDINGS LLC
|
1,102,000 |
principal,
|
5.250%, due 03/15/2021
|
1,052,410 | |||||||
CCO HOLDINGS LLC
|
650,000 |
principal,
|
5.250%, due 09/30/2022
|
606,938 | |||||||
CDW LLC / CDW FINANCE CORP
|
505,000 |
principal,
|
STEP, due 12/15/2018
|
550,450 | |||||||
CEDAR FAIR LP / CANADA'S WONDERLAND
|
756,000 |
principal,
|
5.250%, due 03/15/2021
|
746,550 | |||||||
CELANESE US HOLDINGS LLC
|
65,000 |
principal,
|
5.875%, due 06/15/2021
|
69,225 | |||||||
CELANESE US HOLDINGS LLC
|
317,000 |
principal,
|
4.625%, due 11/15/2022
|
303,528 | |||||||
CEMEX SAB DE CV
|
1,825,000 |
principal,
|
6.500%, due 12/10/2019
|
1,885,225 | |||||||
CENOVUS ENERGY INC
|
100,000 |
principal,
|
6.750%, due 11/15/2039
|
117,212 | |||||||
CENTERPOINT ENERGY RESOURCES C
|
300,000 |
principal,
|
5.850%, due 01/15/2041
|
340,244 | |||||||
CENTURYLINK INC
|
1,268,000 |
principal,
|
6.750%, due 12/01/2023
|
1,283,851 | |||||||
CENTURYLINK INC
|
1,885,000 |
principal,
|
5.625%, due 04/01/2020
|
1,917,988 | |||||||
CEQUEL COMMUNICATIONS HOL
|
890,000 |
principal,
|
6.375%, due 09/15/2020
|
912,250 | |||||||
CHC HELICOPTER
|
1,400,000 |
principal,
|
9.250%, due 10/15/2020
|
1,508,500 | |||||||
CHASE ISSUANCE TRUST
|
3,800,000 |
principal,
|
0.540%, due 10/16/2017
|
3,794,824 | |||||||
CHESAPEAKE ENERGY CORP
|
2,895,000 |
principal,
|
6.625%, due 08/15/2020
|
3,235,163 | |||||||
CHESAPEAKE ENERGY CORP
|
2,736,000 |
principal,
|
5.750%, due 03/15/2023
|
2,818,080 | |||||||
CHEVRON CORP
|
4,300,000 |
principal,
|
1.718%, due 06/24/2018
|
4,283,772 | |||||||
CHOICE HOTELS INTERNATIONAL IN
|
836,000 |
principal,
|
5.750%, due 07/01/2022
|
872,575 | |||||||
CHRYSLER GROUP LLC
|
1,025,000 |
principal,
|
8.250%, due 06/15/2021
|
1,165,938 | |||||||
CHRYSLER GROUP LLC
|
489,000 |
principal,
|
8.000%, due 06/15/2019
|
540,345 | |||||||
CHS/COMMUNITY HEALTH SYSTEMS I
|
1,275,000 |
principal,
|
8.000%, due 11/15/2019
|
1,383,375 | |||||||
CHS/COMMUNITY HEALTH SYSTEMS I
|
437,000 |
principal,
|
5.125%, due 08/15/2018
|
451,203 | |||||||
CHUBB CORP
|
100,000 |
principal,
|
6.500%, due 05/15/2038
|
123,514 | |||||||
CIE GENERALE DE GEOPHYSIQUE
|
1,100,000 |
principal,
|
6.500%, due 06/01/2021
|
1,127,500 | |||||||
CIGNA CORP
|
1,475,000 |
principal,
|
6.150%, due 11/15/2036
|
1,662,138 | |||||||
CIGNA CORP
|
1,885,000 |
principal,
|
5.125%, due 06/15/2020
|
2,090,742 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
CIGNA CORP
|
$ | 700,000 |
principal,
|
8.500%, due 05/01/2019
|
$ | 894,325 | |||||
CIGNA CORP
|
5,400,000 |
principal,
|
2.750%, due 11/15/2016
|
5,620,439 | |||||||
CINEMARK USA INC
|
153,000 |
principal,
|
4.875%, due 06/01/2023
|
143,820 | |||||||
CITIBANK CREDIT CARD
|
1,448,000 |
principal,
|
VAR RT, due 09/10/2020
|
1,450,557 | |||||||
CIT GROUP INC
|
1,300,000 |
principal,
|
5.375%, due 05/15/2020
|
1,381,250 | |||||||
CIT GROUP INC
|
2,782,000 |
principal,
|
5.500%, due 02/15/2019
|
2,983,695 | |||||||
CIT GROUP INC
|
200,000 |
principal,
|
5.250%, due 04/01/2014
|
202,000 | |||||||
CITIGROUP INC
|
300,000 |
principal,
|
8.500%, due 05/22/2019
|
384,477 | |||||||
CITIGROUP INC
|
1,700,000 |
principal,
|
8.125%, due 07/15/2039
|
2,384,570 | |||||||
CITIGROUP INC
|
925,000 |
principal,
|
4.050%, due 07/30/2022
|
914,693 | |||||||
CITIGROUP INC
|
1,475,000 |
principal,
|
VAR RT, due 05/15/2018
|
1,536,162 | |||||||
CITIGROUP INC
|
8,175,000 |
principal,
|
6.125%, due 11/21/2017
|
9,423,396 | |||||||
CITIGROUP INC
|
1,600,000 |
principal,
|
4.587%, due 12/15/2015
|
1,709,782 | |||||||
CLAIRE'S STORES INC
|
582,000 |
principal,
|
6.125%, due 03/15/2020
|
561,630 | |||||||
CLEAN HARBORS INC
|
830,000 |
principal,
|
5.250%, due 08/01/2020
|
854,900 | |||||||
CLEAR CHANNEL COMMUNICATIONS
|
2,770,000 |
principal,
|
9.000%, due 03/01/2021
|
2,797,700 | |||||||
CLEAR CHANNEL WORLDWIDE HOLDINGS
|
2,596,000 |
principal,
|
7.625%, due 03/15/2020
|
2,729,046 | |||||||
CLEAR CHANNEL WORLDWIDE HOLDINGS
|
437,000 |
principal,
|
6.500%, due 11/15/2022
|
446,286 | |||||||
CLECO POWER LLC
|
100,000 |
principal,
|
6.000%, due 12/01/2040
|
109,287 | |||||||
CLIFFS NATURAL RESOURCES INC
|
900,000 |
principal,
|
6.250%, due 10/01/2040
|
766,720 | |||||||
CLOUD PEAK ENERGY RESOURCES
|
610,000 |
principal,
|
8.500%, due 12/15/2019
|
661,850 | |||||||
CME GROUP INC
|
500,000 |
principal,
|
5.300%, due 09/15/2043
|
523,268 | |||||||
COGECO CABLE INC
|
124,000 |
principal,
|
4.875%, due 05/01/2020
|
119,660 | |||||||
COMCAST CABLE COMMUNICATIONS
|
200,000 |
principal,
|
9.455%, due 11/15/2022
|
277,015 | |||||||
COMCAST CORP
|
30,000 |
principal,
|
6.950%, due 08/15/2037
|
36,879 | |||||||
COMCAST CORP
|
100,000 |
principal,
|
6.550%, due 07/01/2039
|
118,394 | |||||||
COMCAST CORP
|
1,200,000 |
principal,
|
6.400%, due 03/01/2040
|
1,384,649 | |||||||
COMCAST CORP
|
1,300,000 |
principal,
|
4.650%, due 07/15/2042
|
1,209,785 | |||||||
COMCAST CORP
|
1,125,000 |
principal,
|
5.875%, due 02/15/2018
|
1,290,368 | |||||||
COMCAST CORP
|
300,000 |
principal,
|
6.300%, due 11/15/2017
|
349,391 | |||||||
COMCAST CORP
|
3,700,000 |
principal,
|
5.700%, due 05/15/2018
|
4,248,540 | |||||||
COMMERZBANK AG
|
1,400,000 |
principal,
|
8.125%, due 09/19/2023
|
1,543,500 | |||||||
COMM 2013-CCRE6 MORTGAG
|
725,236 |
principal,
|
0.719%, due 03/10/2046
|
718,501 | |||||||
COMMERCIAL MORTGAGE PA
|
1,110,535 |
principal,
|
1.278%, due 08/10/2046
|
1,111,061 | |||||||
COMMERCIAL MORTGAGE PA
|
862,500 |
principal,
|
1.468%, due 10/10/2046
|
862,504 | |||||||
COMMERCIAL MORTGAGE PA
|
772,206 |
principal,
|
1.295%, due 10/10/2046
|
771,480 | |||||||
COMMERCIAL MORTGAGE PA
|
1,605,486 |
principal,
|
1.024%, due 06/10/2046
|
1,597,677 | |||||||
COMMONWEALTH EDISON CO
|
2,000,000 |
principal,
|
1.625%, due 01/15/2014
|
2,000,874 | |||||||
COMMSCOPE INC
|
844,000 |
principal,
|
8.250%, due 01/15/2019
|
925,235 | |||||||
CONCHO RESOURCES INC
|
3,428,000 |
principal,
|
5.500%, due 04/01/2023
|
3,530,840 | |||||||
CONSOLIDATED EDISON CO OF NEW
|
200,000 |
principal,
|
6.750%, due 04/01/2038
|
252,310 | |||||||
CONSTELLATION BRANDS INC
|
1,264,000 |
principal,
|
3.750%, due 05/01/2021
|
1,188,160 | |||||||
CONTINENTAL AIRLINES
|
1,549,360 |
principal,
|
9.798%, due 10/01/2022
|
1,746,903 | |||||||
CONTINENTAL RESOURCES INC
|
3,040,000 |
principal,
|
5.000%, due 09/15/2022
|
3,157,800 | |||||||
CONTINENTAL RESOURCES INC
|
277,000 |
principal,
|
4.500%, due 04/15/2023
|
280,809 | |||||||
CONVATEC FINANCE INTERNATIONAL
|
430,000 |
principal,
|
8.250%, due 01/15/2019
|
440,213 | |||||||
CONVATEC HEALTHCARE
|
494,000 |
principal,
|
10.500%, due 12/15/2018
|
555,133 | |||||||
COOPERATIEVE CENTRALE RAIFFEIS
|
5,000,000 |
principal,
|
1.850%, due 01/10/2014
|
5,001,495 | |||||||
CORP NACIONAL DEL COBRE
|
400,000 |
principal,
|
4.250%, due 07/17/2042
|
319,896 | |||||||
CORP NACIONAL DEL COBRE
|
300,000 |
principal,
|
5.625%, due 10/18/2043
|
294,869 | |||||||
CORRECTIONS CORP OF AMERICA
|
395,000 |
principal,
|
4.125%, due 04/01/2020
|
387,100 | |||||||
COVIDIEN INTERNATIONAL FINANCE
|
3,881,000 |
principal,
|
6.000%, due 10/15/2017
|
4,445,926 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
COX COMMUNICATIONS INC
|
$ | 1,200,000 |
principal,
|
6.450%, due 12/01/2036
|
$ | 1,222,336 | |||||
COX COMMUNICATIONS INC
|
5,300,000 |
principal,
|
6.250%, due 06/01/2018
|
6,045,101 | |||||||
COX COMMUNICATIONS INC
|
2,200,000 |
principal,
|
9.375%, due 01/15/2019
|
2,767,831 | |||||||
COX COMMUNICATIONS INC
|
4,000,000 |
principal,
|
3.250%, due 12/15/2022
|
3,619,536 | |||||||
CREDIT SUISSE/NEW YORK NY
|
5,395,000 |
principal,
|
5.500%, due 05/01/2014
|
5,482,939 | |||||||
CRESTWOOD MIDSTREAM PARTNERS
|
211,000 |
principal,
|
6.125%, due 03/01/2022
|
216,275 | |||||||
CROWN AMERICAS LLC
|
1,250,000 |
principal,
|
6.250%, due 02/01/2021
|
1,356,250 | |||||||
CROWN AMERICAS LLC
|
805,000 |
principal,
|
4.500%, due 01/15/2023
|
752,675 | |||||||
CROWN CASTLE INTERNATIONAL CORP
|
822,000 |
principal,
|
5.250%, due 01/15/2023
|
805,560 | |||||||
CROWN CASTLE TOWERS LLC
|
735,000 |
principal,
|
6.113%, due 01/15/2040
|
824,178 | |||||||
CSC HOLDINGS LLC
|
1,037,000 |
principal,
|
6.750%, due 11/15/2021
|
1,117,368 | |||||||
CSX CORP
|
230,000 |
principal,
|
6.150%, due 05/01/2037
|
256,810 | |||||||
CSX CORP
|
500,000 |
principal,
|
5.500%, due 04/15/2041
|
525,838 | |||||||
CTP TRANSPORTATION PRODUC
|
420,000 |
principal,
|
8.250%, due 12/15/2019
|
437,850 | |||||||
CVS PASS-THROUGH TRUST
|
275,543 |
principal,
|
7.507%, due 01/10/2032
|
328,470 | |||||||
CVS PASS-THROUGH TRUST
|
382,018 |
principal,
|
5.926%, due 01/10/2034
|
416,347 | |||||||
CVS PASS-THROUGH TRUST
|
731,514 |
principal,
|
8.353%, due 07/10/2031
|
917,018 | |||||||
CYRUSONE LP / CYRUSONE FINANCE
|
953,000 |
principal,
|
6.375%, due 11/15/2022
|
986,355 | |||||||
DANA HOLDING CORP
|
1,200,000 |
principal,
|
5.375%, due 09/15/2021
|
1,204,500 | |||||||
DANA HOLDING CORP
|
855,000 |
principal,
|
6.750%, due 02/15/2021
|
919,125 | |||||||
DARLING ESCROW CORP
|
495,000 |
principal,
|
5.375%, due 01/15/2022
|
498,713 | |||||||
DAVITA HEALTHCARE PARTNERS INC
|
2,027,000 |
principal,
|
5.750%, due 08/15/2022
|
2,052,338 | |||||||
DELTA AIR LINES
|
1,036,607 |
principal,
|
6.718%, due 07/02/2024
|
1,150,633 | |||||||
DENALI BORROWER LLC
|
400,000 |
principal,
|
5.625%, due 10/15/2020
|
396,500 | |||||||
DENBURY RESOURCES INC
|
1,250,000 |
principal,
|
6.375%, due 08/15/2021
|
1,331,250 | |||||||
DEUTSCHE TELEKOM INTERNATIONAL
|
1,000,000 |
principal,
|
VAR RT, due 06/15/2030
|
1,410,783 | |||||||
DEVON ENERGY CORP
|
1,900,000 |
principal,
|
4.750%, due 05/15/2042
|
1,761,889 | |||||||
DIGITALGLOBE INC
|
646,000 |
principal,
|
5.250%, due 02/01/2021
|
629,850 | |||||||
DIGITAL INSIGHT
|
125,000 |
principal,
|
0.0875%, due 10/11/2020
|
127,500 | |||||||
DIGITAL INSIGHT
|
105,000 |
principal,
|
0.000%, due 08/01/2019
|
105,000 | |||||||
DISCOVER CARD MASTER TRUST
|
1,966,000 |
principal,
|
0.810%, due 08/15/2017
|
1,972,881 | |||||||
DISCOVER CARD MASTER TRUST
|
704,000 |
principal,
|
VAR RT, due 08/17/2020
|
706,292 | |||||||
DISCOVERY COMMUNICATIONS LLC
|
800,000 |
principal,
|
4.950%, due 05/15/2042
|
743,078 | |||||||
DISH DBS CORP
|
1,200,000 |
principal,
|
6.750%, due 06/01/2021
|
1,272,000 | |||||||
DISH DBS CORP
|
755,000 |
principal,
|
5.125%, due 05/01/2020
|
756,888 | |||||||
DISH DBS CORP
|
1,569,000 |
principal,
|
5.875%, due 07/15/2022
|
1,569,000 | |||||||
DNB BANK ASA
|
1,000,000 |
principal,
|
3.200%, due 04/03/2017
|
1,045,450 | |||||||
DORIC NIMROD AIR FINANCE
|
187,719 |
principal,
|
5.125%, due 11/30/2024
|
190,535 | |||||||
DOW CHEMICAL CO
|
2,516,000 |
principal,
|
8.550%, due 05/15/2019
|
3,248,644 | |||||||
DOW CHEMICAL CO
|
1,250,000 |
principal,
|
9.400%, due 05/15/2039
|
1,867,386 | |||||||
DOW CHEMICAL CO
|
1,227,000 |
principal,
|
5.700%, due 05/15/2018
|
1,402,846 | |||||||
DOW CHEMICAL CO
|
650,000 |
principal,
|
7.375%, due 11/01/2029
|
835,323 | |||||||
DUKE ENERGY CAROLINAS LLC
|
100,000 |
principal,
|
6.050%, due 04/15/2038
|
118,689 | |||||||
DUKE ENERGY FLORIDA INC
|
110,000 |
principal,
|
6.350%, due 09/15/2037
|
134,955 | |||||||
DUKE ENERGY PROGRESS INC
|
700,000 |
principal,
|
4.100%, due 05/15/2042
|
646,401 | |||||||
DUPONT FABROS TECHNOLOGY LP
|
210,000 |
principal,
|
5.875%, due 09/15/2021
|
216,825 | |||||||
E*TRADE FINANCIAL CORP
|
874,000 |
principal,
|
6.375%, due 11/15/2019
|
938,458 | |||||||
EATON CORP
|
875,000 |
principal,
|
2.750%, due 11/02/2022
|
816,251 | |||||||
EATON CORP
|
4,700,000 |
principal,
|
1.500%, due 11/02/2017
|
4,607,560 | |||||||
ECOPETROL SA
|
700,000 |
principal,
|
7.375%, due 09/18/2043
|
758,800 | |||||||
EKSPORTFINANS ASA
|
100,000 |
principal,
|
5.500%, due 06/26/2017
|
105,450 | |||||||
EKSPORTFINANS ASA
|
300,000 |
principal,
|
3.000%, due 11/17/2014
|
301,200 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
EKSPORTFINANS ASA
|
$ | 500,000 |
principal,
|
5.500%, due 05/25/2016
|
$ | 527,500 | |||||
EKSPORTFINANS ASA
|
300,000 |
principal,
|
2.000%, due 09/15/2015
|
295,500 | |||||||
EKSPORTFINANS ASA
|
100,000 |
principal,
|
2.375%, due 05/25/2016
|
98,375 | |||||||
EKSPORTFINANS ASA
|
500,000 |
principal,
|
5.500%, due 06/26/2017
|
527,250 | |||||||
EL PASO LLC
|
836,000 |
principal,
|
6.500%, due 09/15/2020
|
896,461 | |||||||
ELECTRICITE DE FRANCE
|
100,000 |
principal,
|
6.950%, due 01/26/2039
|
122,179 | |||||||
EMDEON INC
|
399,000 |
principal,
|
11.000%, due 12/31/2019
|
460,845 | |||||||
ENBRIDGE ENERGY PARTNERS LP
|
100,000 |
principal,
|
7.500%, due 04/15/2038
|
117,250 | |||||||
ENCANA CORP
|
200,000 |
principal,
|
6.500%, due 08/15/2034
|
218,861 | |||||||
ENCANA CORP
|
1,000,000 |
principal,
|
5.150%, due 11/15/2041
|
937,501 | |||||||
ENEL FINANCE INTERNATIONAL
|
1,975,000 |
principal,
|
6.000%, due 10/07/2039
|
1,894,292 | |||||||
ENEL FINANCE INTERNATIONAL
|
2,050,000 |
principal,
|
6.250%, due 09/15/2017
|
2,289,485 | |||||||
ENEL SPA
|
900,000 |
principal,
|
VAR RT, due 09/24/2073
|
978,630 | |||||||
ENERGY TRANSFER EQUITY LP
|
1,000,000 |
principal,
|
7.500%, due 10/15/2020
|
1,122,500 | |||||||
ENERGY TRANSFER PARTNERS LP
|
100,000 |
principal,
|
6.625%, due 10/15/2036
|
107,763 | |||||||
ENERGY TRANSFER PARTNERS LP
|
200,000 |
principal,
|
7.500%, due 07/01/2038
|
234,657 | |||||||
ENTERPRISE PRODUCTS OPERATING
|
1,500,000 |
principal,
|
4.450%, due 02/15/2043
|
1,324,974 | |||||||
ENTERPRISE PRODUCTS OPERATING
|
10,000 |
principal,
|
5.750%, due 03/01/2035
|
10,574 | |||||||
EP ENERGY LLC / EP ENERGY FINANCE
|
2,161,000 |
principal,
|
9.375%, due 05/01/2020
|
2,493,254 | |||||||
EP ENERGY LLC / EVEREST ACQUISITION
|
342,000 |
principal,
|
7.750%, due 09/01/2022
|
383,040 | |||||||
EQUINIX INC
|
82,000 |
principal,
|
7.000%, due 07/15/2021
|
89,585 | |||||||
EQUINIX INC
|
1,102,000 |
principal,
|
4.875%, due 04/01/2020
|
1,096,490 | |||||||
ERP OPERATING LP
|
1,900,000 |
principal,
|
3.000%, due 04/15/2023
|
1,734,968 | |||||||
ESAL GMBH
|
1,250,000 |
principal,
|
6.250%, due 02/05/2023
|
1,121,875 | |||||||
EXOPACK
|
342,000 |
principal,
|
5.25%, due 04/29/2019
|
347,130 | |||||||
EXPORT-IMPORT BANK OF KOREA
|
200,000 |
principal,
|
5.000%, due 04/11/2022
|
215,914 | |||||||
FIRST DATA CORP
|
1,094,000 |
principal,
|
12.625%, due 01/15/2021
|
1,284,083 | |||||||
FIRST DATA CORP
|
850,000 |
principal,
|
8.875%, due 08/15/2020
|
940,313 | |||||||
FIRST DATA CORP
|
1,150,000 |
principal,
|
10.625%, due 06/15/2021
|
1,246,313 | |||||||
FIRST DATA CORP
|
703,000 |
principal,
|
8.250%, due 01/15/2021
|
747,816 | |||||||
FIRST DATA CORP
|
1,387,000 |
principal,
|
7.375%, due 06/15/2019
|
1,480,623 | |||||||
FIRST DATA CORP
|
267,000 |
principal,
|
11.750%, due 08/15/2021
|
281,685 | |||||||
FIRSTENERGY CORP
|
210,000 |
principal,
|
7.375%, due 11/15/2031
|
228,183 | |||||||
FLORIDA POWER & LIGHT CO
|
100,000 |
principal,
|
5.950%, due 02/01/2038
|
117,182 | |||||||
FMG RESOURCES
|
1,100,000 |
principal,
|
6.875%, due 04/01/2022
|
1,199,000 | |||||||
FMG RESOURCES
|
177,000 |
principal,
|
7.000%, due 11/01/2015
|
183,638 | |||||||
FMG RESOURCES
|
525,000 |
principal,
|
8.250%, due 11/01/2019
|
589,313 | |||||||
FORD MOTOR CO
|
1,800,000 |
principal,
|
7.450%, due 07/16/2031
|
2,204,402 | |||||||
FORD MOTOR CO
|
500,000 |
principal,
|
8.875%, due 01/15/2022
|
618,442 | |||||||
FORD MOTOR CO
|
575,000 |
principal,
|
7.125%, due 11/15/2025
|
670,623 | |||||||
FORD MOTOR CO
|
175,000 |
principal,
|
7.500%, due 08/01/2026
|
207,241 | |||||||
FORD MOTOR CREDIT CO LLC
|
1,875,000 |
principal,
|
4.250%, due 09/20/2022
|
1,883,618 | |||||||
FORD MOTOR CREDIT CO LLC
|
1,650,000 |
principal,
|
4.375%, due 08/06/2023
|
1,658,842 | |||||||
FORD MOTOR CREDIT CO LLC
|
2,500,000 |
principal,
|
5.750%, due 02/01/2021
|
2,800,668 | |||||||
FORD MOTOR CREDIT CO LLC
|
100,000 |
principal,
|
8.000%, due 06/01/2014
|
103,053 | |||||||
FORD MOTOR CREDIT CO LLC
|
1,700,000 |
principal,
|
8.700%, due 10/01/2014
|
1,799,661 | |||||||
FORD MOTOR CREDIT CO LLC
|
1,750,000 |
principal,
|
5.625%, due 09/15/2015
|
1,883,473 | |||||||
FOREST LABORATORIES INC
|
499,000 |
principal,
|
5.000%, due 12/15/2021
|
500,871 | |||||||
FOUR SEASONS
|
122,000 |
principal,
|
0.0625%, due 12/24/2020
|
124,745 | |||||||
FRANCE TELECOM SA
|
200,000 |
principal,
|
VAR RT, due 03/01/2031
|
276,135 | |||||||
FREESCALE SEMICONDUCTOR
|
1,316,000 |
principal,
|
6.000%, due 01/15/2022
|
1,332,451 | |||||||
FRESENIUS MEDICAL CARE US
|
529,000 |
principal,
|
5.875%, due 01/31/2022
|
558,095 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
FRONTIER COMMUNICATIONS CORP
|
$ | 457,000 |
principal,
|
8.125%, due 10/01/2018
|
$ | 522,123 | |||||
FRONTIER COMMUNICATIONS CORP
|
1,633,000 |
principal,
|
7.125%, due 01/15/2023
|
1,612,588 | |||||||
GARDNER DENVER
|
276,294 |
principal,
|
0.000%, due 07/30/2020
|
276,261 | |||||||
GAZPROM OAO VIA GAZ CAPITAL
|
1,100,000 |
principal,
|
5.092%, due 11/29/2015
|
1,169,850 | |||||||
GAZPROM OAO VIA GAZ CAPITAL
|
100,000 |
principal,
|
6.510%, due 03/07/2022
|
107,375 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
2,950,000 |
principal,
|
5.500%, due 01/08/2020
|
3,378,231 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
1,100,000 |
principal,
|
6.750%, due 03/15/2032
|
1,362,136 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
100,000 |
principal,
|
6.150%, due 08/07/2037
|
116,668 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
300,000 |
principal,
|
5.875%, due 01/14/2038
|
341,734 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
875,000 |
principal,
|
4.650%, due 10/17/2021
|
953,267 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
925,000 |
principal,
|
4.375%, due 09/16/2020
|
1,002,505 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
7,500,000 |
principal,
|
2.150%, due 01/09/2015
|
7,637,363 | |||||||
GENERAL ELECTRIC CAPITAL CORP
|
5,800,000 |
principal,
|
5.625%, due 05/01/2018
|
6,660,534 | |||||||
GENERAL MOTORS CO
|
625,000 |
principal,
|
4.875%, due 10/02/2023
|
632,813 | |||||||
GENERAL MOTORS FINANCIAL
|
150,000 |
principal,
|
3.250%, due 05/15/2018
|
150,000 | |||||||
GEORGIA-PACIFIC LLC
|
600,000 |
principal,
|
5.400%, due 11/01/2020
|
670,381 | |||||||
GERDAU TRADE INC
|
600,000 |
principal,
|
5.750%, due 01/30/2021
|
612,000 | |||||||
GIBRALTAR INDUSTRIES INC
|
703,000 |
principal,
|
STEP, due 02/01/2021
|
722,333 | |||||||
GLEN MEADOW PASS-THROUGH TRUST
|
1,000,000 |
principal,
|
VAR RT, due 02/12/2067
|
965,000 | |||||||
GLP CAPITAL LP / GLP FINANCE
|
970,000 |
principal,
|
4.375%, due 11/01/2018
|
991,825 | |||||||
GOLDMAN SACHS GROUP INC
|
1,500,000 |
principal,
|
7.500%, due 02/15/2019
|
1,826,954 | |||||||
GOLDMAN SACHS GROUP INC
|
310,000 |
principal,
|
6.125%, due 02/15/2033
|
348,700 | |||||||
GOLDMAN SACHS GROUP INC
|
100,000 |
principal,
|
6.750%, due 10/01/2037
|
111,255 | |||||||
GOLDMAN SACHS GROUP INC
|
500,000 |
principal,
|
5.750%, due 01/24/2022
|
562,844 | |||||||
GOLDMAN SACHS GROUP INC
|
200,000 |
principal,
|
VAR RT, due 07/22/2015
|
199,540 | |||||||
GOLDMAN SACHS GROUP INC
|
200,000 |
principal,
|
2.375%, due 01/22/2018
|
200,760 | |||||||
GOLDMAN SACHS GROUP INC
|
1,000,000 |
principal,
|
VAR RT, due 09/29/2014
|
1,001,711 | |||||||
GOLDMAN SACHS GROUP INC
|
300,000 |
principal,
|
VAR RT, due 01/12/2015
|
299,818 | |||||||
GOODMAN NETWORKS INC
|
220,000 |
principal,
|
VAR RT, due 07/01/2018
|
232,100 | |||||||
GOODMAN NETWORKS INC
|
241,000 |
principal,
|
VAR RT, due 07/01/2018
|
254,255 | |||||||
GOODYEAR TIRE & RUBBER CO
|
1,550,000 |
principal,
|
7.000%, due 05/15/2022
|
1,668,188 | |||||||
GRAPHIC PACKAGING INTERNATIONAL
|
925,000 |
principal,
|
4.750%, due 04/15/2021
|
915,750 | |||||||
H&E EQUIPMENT SERVICES INC
|
418,000 |
principal,
|
7.000%, due 09/01/2022
|
455,620 | |||||||
HALCON RESOURCES CORP
|
189,000 |
principal,
|
9.750%, due 07/15/2020
|
196,796 | |||||||
HAPAG-LLOYD
|
725,000 |
principal,
|
9.750%, due 10/15/2017
|
763,063 | |||||||
HAWK ACQUISITION SUB INC
|
481,000 |
principal,
|
4.250%, due 10/15/2020
|
465,368 | |||||||
HBOS PLC
|
250,000 |
principal,
|
6.000%, due 11/01/2033
|
240,968 | |||||||
HBOS PLC
|
200,000 |
principal,
|
6.750%, due 05/21/2018
|
226,225 | |||||||
HCA HOLDINGS INC
|
500,000 |
principal,
|
7.750%, due 05/15/2021
|
546,250 | |||||||
HCA HOLDINGS INC
|
1,698,000 |
principal,
|
6.250%, due 02/15/2021
|
1,776,533 | |||||||
HCA INC
|
1,950,000 |
principal,
|
7.500%, due 02/15/2022
|
2,140,125 | |||||||
HCA INC
|
1,780,000 |
principal,
|
6.500%, due 02/15/2020
|
1,955,775 | |||||||
HCP INC
|
500,000 |
principal,
|
6.750%, due 02/01/2041
|
591,836 | |||||||
HD SUPPLY INC
|
969,000 |
principal,
|
7.500%, due 07/15/2020
|
1,044,098 | |||||||
HD SUPPLY INC
|
360,000 |
principal,
|
8.125%, due 04/15/2019
|
400,950 | |||||||
HD SUPPLY INC
|
323,000 |
principal,
|
11.500%, due 07/15/2020
|
385,581 | |||||||
HDTFS INC
|
590,000 |
principal,
|
6.250%, due 10/15/2022
|
609,175 | |||||||
HEALTH NET INC/CA
|
1,025,000 |
principal,
|
6.375%, due 06/01/2017
|
1,104,438 | |||||||
HEALTHCARE TECHNOLOGY INT
|
56,000 |
principal,
|
7.375%, due 09/01/2018
|
58,240 | |||||||
HEALTHSOUTH CORP
|
418,000 |
principal,
|
8.125%, due 02/15/2020
|
458,233 | |||||||
HEINEKEN NV
|
1,600,000 |
principal,
|
1.400%, due 10/01/2017
|
1,569,717 | |||||||
HERTZ CORP
|
2,436,000 |
principal,
|
7.375%, due 01/15/2021
|
2,673,510 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued)
|
|||||||||||||
HESS CORP
|
$ | 100,000 |
principal,
|
7.300%, due 08/15/2031
|
$ | 122,127 | |||||||
* |
HEWLETT-PACKARD COMPANY
|
3,600,000 |
principal,
|
2.650%, due 06/01/2016
|
3,709,375 | ||||||||
HEXION US FINANCE CORP
|
875,000 |
principal,
|
6.625%, due 04/15/2020
|
896,875 | |||||||||
HEXION US FINANCE CORP
|
600,000 |
principal,
|
8.875%, due 02/01/2018
|
623,250 | |||||||||
HILAND PARTNERS LP
|
1,581,000 |
principal,
|
7.250%, due 10/01/2020
|
1,695,623 | |||||||||
HILTON HOTELS
|
375,789 |
principal,
|
4.000%, due 10/26/2020
|
378,608 | |||||||||
HILTON WORLDWIDE FINANCE
|
959,000 |
principal,
|
5.625%, due 10/15/2021
|
994,963 | |||||||||
HJ HEINZ FINANCE CO
|
200,000 |
principal,
|
7.125%, due 08/01/2039
|
205,500 | |||||||||
HOCKEY MERGER SUB 2 INC
|
594,000 |
principal,
|
7.875%, due 10/01/2021
|
610,335 | |||||||||
HOLOGIC INC
|
1,100,000 |
principal,
|
6.250%, due 08/01/2020
|
1,160,500 | |||||||||
HORNBECK OFFSHORE SERVICES INC
|
1,200,000 |
principal,
|
5.000%, due 03/01/2021
|
1,176,000 | |||||||||
HOSTESS BRANDS
|
360,000 |
principal,
|
6.750%, due 03/12/2020
|
372,600 | |||||||||
HSBC AMERICAS INC DISC
|
2,352,000 |
principal,
|
0.000%, due 01/02/2014
|
2,351,993 | |||||||||
HSBC BANK PLC
|
3,650,000 |
principal,
|
3.100%, due 05/24/2016
|
3,823,193 | |||||||||
HSBC BANK USA NA/NEW YORK NY
|
30,000 |
principal,
|
5.875%, due 11/01/2034
|
32,980 | |||||||||
HSBC HOLDINGS PLC
|
2,750,000 |
principal,
|
6.500%, due 05/02/2036
|
3,257,463 | |||||||||
HSBC HOLDINGS PLC
|
1,875,000 |
principal,
|
6.500%, due 09/15/2037
|
2,217,630 | |||||||||
HSBC HOLDINGS PLC
|
200,000 |
principal,
|
6.800%, due 06/01/2038
|
246,031 | |||||||||
HSBC HOLDINGS PLC
|
1,350,000 |
principal,
|
5.100%, due 04/05/2021
|
1,500,456 | |||||||||
HSBC USA INC
|
5,075,000 |
principal,
|
2.375%, due 02/13/2015
|
5,178,363 | |||||||||
HSBC USA INC
|
1,000,000 |
principal,
|
2.625%, due 09/24/2018
|
1,016,877 | |||||||||
HSBC USA INC
|
550,000 |
principal,
|
9.500%, due 04/15/2014
|
563,528 | |||||||||
HUGHES SATELLITE SYSTEMS CORP
|
1,817,000 |
principal,
|
7.625%, due 06/15/2021
|
2,025,955 | |||||||||
HUGHES SATELLITE SYSTEMS CORP
|
597,000 |
principal,
|
6.500%, due 06/15/2019
|
646,253 | |||||||||
HUNTINGTON INGALLS INDUSTRIES
|
855,000 |
principal,
|
6.875%, due 03/15/2018
|
923,400 | |||||||||
HUNTSMAN INTERNATIONAL LLC
|
1,350,000 |
principal,
|
8.625%, due 03/15/2021
|
1,525,500 | |||||||||
HUNTSMAN INTERNATIONAL LLC
|
190,000 |
principal,
|
4.875%, due 11/15/2020
|
187,150 | |||||||||
HYUNDAI CAPITAL AMERICA
|
1,000,000 |
principal,
|
1.625%, due 10/02/2015
|
1,005,005 | |||||||||
ICAHN ENTERPRISES LP
|
2,000,000 |
principal,
|
6.000%, due 08/01/2020
|
2,060,000 | |||||||||
IMS HEALTH INC
|
437,000 |
principal,
|
6.000%, due 11/01/2020
|
464,313 | |||||||||
ING BANK
|
900,000 |
principal,
|
VAR RT, due 06/09/2014
|
904,882 | |||||||||
INMET MINING CORP
|
117,000 |
principal,
|
7.500%, due 06/01/2021
|
122,265 | |||||||||
INMET MINING CORP
|
836,000 |
principal,
|
8.750%, due 06/01/2020
|
907,060 | |||||||||
INTELSAT JACKSON HOLDINGS
|
1,910,000 |
principal,
|
7.250%, due 04/01/2019
|
2,062,800 | |||||||||
INTELSAT JACKSON HOLDINGS
|
1,672,000 |
principal,
|
7.500%, due 04/01/2021
|
1,843,380 | |||||||||
INTELSAT LUXEMBOURG
|
836,000 |
principal,
|
8.125%, due 06/01/2023
|
896,610 | |||||||||
INTERLINE BRANDS INC
|
684,000 |
principal,
|
VAR RT, due 11/15/2018
|
725,040 | |||||||||
INTERNATIONAL LEASE FINANCE CO
|
1,939,000 |
principal,
|
8.250%, due 12/15/2020
|
2,268,630 | |||||||||
IRON MOUNTAIN INC
|
960,000 |
principal,
|
5.750%, due 08/15/2024
|
890,400 | |||||||||
IRON MOUNTAIN INC
|
900,000 |
principal,
|
6.000%, due 08/15/2023
|
922,500 | |||||||||
ISLE OF CAPRI CASINOS INC
|
1,250,000 |
principal,
|
8.875%, due 06/15/2020
|
1,334,375 | |||||||||
ITAU UNIBANCO HOLDING SA/ 144A
|
1,000,000 |
principal,
|
5.125%, due 05/13/2023
|
925,000 | |||||||||
JAGUAR HOLDING CO II
|
455,000 |
principal,
|
9.500%, due 12/01/2019
|
511,875 | |||||||||
JAGUAR LAND ROVER AUTO
|
325,000 |
principal,
|
4.125%, due 12/15/2018
|
327,031 | |||||||||
JAGUAR LAND ROVER AUTO
|
893,000 |
principal,
|
5.625%, due 02/01/2023
|
893,000 | |||||||||
JARDEN CORP
|
1,207,000 |
principal,
|
7.500%, due 01/15/2020
|
1,303,560 | |||||||||
JMC STEEL GROUP INC
|
342,000 |
principal,
|
8.250%, due 03/15/2018
|
345,420 | |||||||||
JO-ANN STORES INC
|
437,000 |
principal,
|
8.125%, due 03/15/2019
|
457,211 | |||||||||
JOHN DEERE CAPITAL CORP
|
3,900,000 |
principal,
|
0.700%, due 09/04/2015
|
3,915,296 | |||||||||
JPMORGAN CHASE & CO
|
1,100,000 |
principal,
|
6.400%, due 05/15/2038
|
1,312,856 | |||||||||
JPMORGAN CHASE & CO
|
1,200,000 |
principal,
|
4.400%, due 07/22/2020
|
1,289,951 | |||||||||
JPMORGAN CHASE & CO
|
1,000,000 |
principal,
|
5.625%, due 08/16/2043
|
1,056,774 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
JPMORGAN CHASE & CO
|
$ | 600,000 |
principal,
|
5.400%, due 01/06/2042
|
$ | 645,933 | |||||
JPMORGAN CHASE & CO
|
5,380,000 |
principal,
|
3.450%, due 03/01/2016
|
5,642,786 | |||||||
JPMORGAN CHASE & CO
|
1,225,000 |
principal,
|
4.350%, due 08/15/2021
|
1,291,052 | |||||||
JPMORGAN CHASE & CO
|
1,300,000 |
principal,
|
3.375%, due 05/01/2023
|
1,211,600 | |||||||
JPMORGAN CHASE & CO
|
7,000,000 |
principal,
|
1.875%, due 03/20/2015
|
7,094,626 | |||||||
JP MORGAN CHASE
|
308,713 |
principal,
|
3.300%, due 08/05/2032
|
322,192 | |||||||
JP MORGAN CHASE
|
400,000 |
principal,
|
4.106%, due 07/15/2046
|
427,612 | |||||||
JPMORGAN CHASE BANK NA
|
1,300,000 |
principal,
|
6.000%, due 10/01/2017
|
1,487,355 | |||||||
JPMBB COMMERCIAL MORTGAGE
|
1,510,402 |
principal,
|
1.085%, due 07/15/2045
|
1,505,266 | |||||||
KB HOME
|
1,100,000 |
principal,
|
7.500%, due 09/15/2022
|
1,157,750 | |||||||
KINDER MORGAN ENERGY PARTNERS
|
200,000 |
principal,
|
5.800%, due 03/15/2035
|
205,037 | |||||||
KINDER MORGAN ENERGY PARTNERS
|
1,300,000 |
principal,
|
5.000%, due 08/15/2042
|
1,200,628 | |||||||
KINDER MORGAN INC
|
1,360,000 |
principal,
|
5.000%, due 02/15/2021
|
1,339,581 | |||||||
KINETIC CONCEPTS INC
|
1,243,000 |
principal,
|
VAR RT, due 11/01/2018
|
1,429,450 | |||||||
KODIAK OIL & GAS CORP
|
1,871,000 |
principal,
|
5.500%, due 01/15/2021
|
1,866,323 | |||||||
KODIAK OIL & GAS CORP
|
328,000 |
principal,
|
5.500%, due 02/01/2022
|
326,360 | |||||||
KONINKLIJKE PHILIPS ELECTRONIC
|
2,215,000 |
principal,
|
5.750%, due 03/11/2018
|
2,534,040 | |||||||
KRAFT FOODS GROUP INC
|
600,000 |
principal,
|
5.000%, due 06/04/2042
|
591,475 | |||||||
KRAFT FOODS GROUP INC
|
1,295,000 |
principal,
|
6.500%, due 02/09/2040
|
1,510,228 | |||||||
L BRANDS INC
|
817,000 |
principal,
|
6.625%, due 04/01/2021
|
896,658 | |||||||
LAFARGE SA
|
620,000 |
principal,
|
6.500%, due 07/15/2016
|
685,100 | |||||||
LAFARGE SA
|
5,400,000 |
principal,
|
VAR RT, due 07/09/2015
|
5,724,000 | |||||||
LAMAR MEDIA CORP
|
1,230,000 |
principal,
|
5.875%, due 02/01/2022
|
1,260,750 | |||||||
LAREDO PETROLEUM INC
|
1,691,000 |
principal,
|
7.375%, due 05/01/2022
|
1,834,735 | |||||||
LBC TANK TERMINALS HOLDIN 144A
|
435,000 |
principal,
|
6.875%, due 05/15/2023
|
449,681 | |||||||
LBG CAPITAL NO.1 PLC
|
625,000 |
principal,
|
11.040%, due 03/19/2020
|
1,182,672 | |||||||
LBG CAPITAL NO.1 PLC
|
700,000 |
principal,
|
VAR RT, due 12/29/2049
|
747,422 | |||||||
LEAR CORP
|
397,000 |
principal,
|
8.125%, due 03/15/2020
|
437,693 | |||||||
LEGG MASON INC
|
1,825,000 |
principal,
|
VAR RT, due 05/21/2019
|
1,996,409 | |||||||
LENNAR CORP
|
950,000 |
principal,
|
6.950%, due 06/01/2018
|
1,068,750 | |||||||
LENNAR CORP
|
1,300,000 |
principal,
|
5.600%, due 05/31/2015
|
1,365,000 | |||||||
LEVEL 3 COMMUNICATIONS INC
|
157,000 |
principal,
|
8.875%, due 06/01/2019
|
171,523 | |||||||
LEVEL 3 FINANCING INC
|
1,238,000 |
principal,
|
9.375%, due 04/01/2019
|
1,385,013 | |||||||
LEVEL 3 FINANCING INC
|
110,000 |
principal,
|
8.625%, due 07/15/2020
|
123,200 | |||||||
LEVEL 3 FINANCING INC
|
299,000 |
principal,
|
7.000%, due 06/01/2020
|
316,940 | |||||||
LEVEL 3 FINANCING INC
|
283,000 |
principal,
|
6.125%, due 01/15/2021
|
285,830 | |||||||
LEVEL 3 FINANCING INC
|
144,000 |
principal,
|
VAR RT, due 01/15/2018
|
144,900 | |||||||
LIBBEY GLASS INC
|
855,000 |
principal,
|
6.875%, due 05/15/2020
|
923,400 | |||||||
LIBERTY INTERACTIVE LLC
|
90,000 |
principal,
|
8.250%, due 02/01/2030
|
95,850 | |||||||
LIBERTY INTERACTIVE LLC
|
260,000 |
principal,
|
8.500%, due 07/15/2029
|
280,150 | |||||||
LIBERTY MUTUAL GROUP INC
|
525,000 |
principal,
|
7.800%, due 03/07/2087
|
564,375 | |||||||
LIFEPOINT HOSPITALS INC
|
398,000 |
principal,
|
5.500%, due 12/01/2021
|
399,493 | |||||||
LINN ENERGY LLC
|
500,000 |
principal,
|
VAR RT, due 11/01/2019
|
505,000 | |||||||
LINN ENERGY LLC
|
1,425,000 |
principal,
|
8.625%, due 04/15/2020
|
1,539,000 | |||||||
LINN ENERGY LLC
|
175,000 |
principal,
|
7.750%, due 02/01/2021
|
185,063 | |||||||
LLOYDS BANK PLC
|
100,000 |
principal,
|
VAR RT, due 12/29/2049
|
134,621 | |||||||
LLOYDS TSB BANK
|
900,000 |
principal,
|
6.500%, due 09/14/2020
|
1,023,066 | |||||||
LYNX I CORP
|
1,200,000 |
principal,
|
5.375%, due 04/15/2021
|
1,200,000 | |||||||
LYNX II CORP
|
429,000 |
principal,
|
6.375%, due 04/15/2023
|
436,508 | |||||||
MACY'S RETAIL HOLDINGS INC
|
2,895,000 |
principal,
|
6.900%, due 04/01/2029
|
3,285,185 | |||||||
MACY'S RETAIL HOLDINGS INC
|
675,000 |
principal,
|
6.650%, due 07/15/2024
|
779,965 | |||||||
MACY'S RETAIL HOLDINGS INC
|
100,000 |
principal,
|
6.700%, due 07/15/2034
|
113,786 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
MACY'S RETAIL HOLDINGS INC
|
$ | 3,750,000 |
principal,
|
5.900%, due 12/01/2016
|
$ | 4,206,293 | |||||
MACY'S RETAIL HOLDINGS INC
|
100,000 |
principal,
|
6.900%, due 01/15/2032
|
114,453 | |||||||
MACY'S RETAIL HOLDINGS INC
|
1,461,000 |
principal,
|
6.700%, due 09/15/2028
|
1,611,762 | |||||||
MAJAPAHIT HOLDING BV
|
1,000,000 |
principal,
|
7.750%, due 01/20/2020
|
1,091,130 | |||||||
MANITOWOC CO INC
|
646,000 |
principal,
|
8.500%, due 11/01/2020
|
733,210 | |||||||
MARIPOSA BORROWER INC
|
181,000 |
principal,
|
8.000%, due 10/15/2021
|
189,145 | |||||||
MARIPOSA BORROWER INC
|
151,000 |
principal,
|
8.750%, due 10/15/2021
|
158,173 | |||||||
MARKWEST ENERGY PARTNERS LP
|
1,100,000 |
principal,
|
5.500%, due 02/15/2023
|
1,108,250 | |||||||
MARKWEST ENERGY PARTNERS LP
|
1,729,000 |
principal,
|
6.250%, due 06/15/2022
|
1,828,418 | |||||||
MARKWEST ENERGY PARTNERS LP
|
203,000 |
principal,
|
4.500%, due 07/15/2023
|
190,313 | |||||||
MASTEC INC
|
900,000 |
principal,
|
4.875%, due 03/15/2023
|
850,500 | |||||||
MAXIM INTEGRATED PRODUCTS INC
|
4,300,000 |
principal,
|
2.500%, due 11/15/2018
|
4,263,665 | |||||||
MDC PARTNERS INC
|
1,054,000 |
principal,
|
6.750%, due 04/01/2020
|
1,102,748 | |||||||
MELLON CAPITAL III
|
600,000 |
principal,
|
VAR RT, due 09/05/2066
|
1,003,688 | |||||||
MERITAGE HOMES CORP
|
931,000 |
principal,
|
4.500%, due 03/01/2018
|
926,345 | |||||||
MERITAGE HOMES CORP
|
9,000 |
principal,
|
7.000%, due 04/01/2022
|
9,518 | |||||||
MERITAGE HOMES CORP
|
17,000 |
principal,
|
7.150%, due 04/15/2020
|
18,360 | |||||||
METLIFE INC
|
500,000 |
principal,
|
6.375%, due 06/15/2034
|
591,334 | |||||||
METROPCS WIRELESS INC
|
925,000 |
principal,
|
6.625%, due 11/15/2020
|
980,500 | |||||||
METROPCS WIRELESS INC
|
722,000 |
principal,
|
6.625%, due 04/01/2023
|
745,465 | |||||||
METROPOLITAN LIFE GLOBAL
|
3,900,000 |
principal,
|
2.000%, due 01/10/2014
|
3,901,334 | |||||||
MGM RESORTS INTERNATIONAL
|
1,625,000 |
principal,
|
7.750%, due 03/15/2022
|
1,815,938 | |||||||
MGM RESORTS INTERNATIONAL
|
1,972,000 |
principal,
|
6.750%, due 10/01/2020
|
2,110,040 | |||||||
MICHAELS FINCO HOLDINGS
|
548,000 |
principal,
|
7.500%, due 08/01/2018
|
569,920 | |||||||
MICHAELS STORES INC
|
173,000 |
principal,
|
5.875%, due 12/15/2020
|
173,865 | |||||||
MILACRON LLC / MCRON FINANCE
|
1,250,000 |
principal,
|
7.750%, due 02/15/2021
|
1,312,500 | |||||||
MOHEGAN TRIBAL GAMING
|
795,000 |
principal,
|
9.750%, due 09/01/2021
|
856,613 | |||||||
MOMENTIVE PERFORMANCE MATERIAL
|
1,058,000 |
principal,
|
8.875%, due 10/15/2020
|
1,113,546 | |||||||
MONDELEZ INTERNATIONAL INC
|
500,000 |
principal,
|
7.000%, due 08/11/2037
|
611,760 | |||||||
MONITRONICS INTERNATIONAL INC
|
412,000 |
principal,
|
9.125%, due 04/01/2020
|
436,720 | |||||||
MORGAN STANLEY
|
700,000 |
principal,
|
7.250%, due 04/01/2032
|
866,303 | |||||||
MORGAN STANLEY
|
100,000 |
principal,
|
6.625%, due 04/01/2018
|
117,009 | |||||||
MORGAN STANLEY
|
400,000 |
principal,
|
6.375%, due 07/24/2042
|
468,512 | |||||||
MOTEL 6 TRUST
|
2,877,000 |
principal,
|
1.948%, due 10/05/2025
|
2,848,069 | |||||||
MULTIPLAN INC
|
665,000 |
principal,
|
9.875%, due 09/01/2018
|
731,500 | |||||||
MYRIAD INTERNATIONAL HOLD INGS
|
1,375,000 |
principal,
|
6.000%, due 07/18/2020
|
1,471,250 | |||||||
NATIONAL CINEMEDIA LLC
|
314,000 |
principal,
|
6.000%, due 04/15/2022
|
324,205 | |||||||
NATIONAL CINEMEDIA LLC
|
275,000 |
principal,
|
7.875%, due 07/15/2021
|
302,500 | |||||||
NAVISTAR INTERNATIONAL CORP
|
1,625,000 |
principal,
|
8.250%, due 11/01/2021
|
1,681,875 | |||||||
NBCUNIVERSAL MEDIA LLC
|
200,000 |
principal,
|
6.400%, due 04/30/2040
|
229,926 | |||||||
NBCUNIVERSAL MEDIA LLC
|
400,000 |
principal,
|
5.950%, due 04/01/2041
|
437,535 | |||||||
NCR CORP
|
1,150,000 |
principal,
|
5.000%, due 07/15/2022
|
1,093,938 | |||||||
NCR ESCROW CORP
|
713,000 |
principal,
|
5.875%, due 12/15/2021
|
726,369 | |||||||
NCR ESCROW CORP
|
460,000 |
principal,
|
6.375%, due 12/15/2023
|
469,775 | |||||||
NCUA GUARANTEED NOTES
|
3,775,000 |
principal,
|
1.400%, due 06/12/2015
|
3,833,248 | |||||||
NEIMAN MARCUS
|
663,000 |
principal,
|
5.000%, due 10/15/2020
|
670,644 | |||||||
NELNET STUDENT LOAN TRUST
|
1,472,496 |
principal,
|
VAR RT, due 10/26/2026
|
1,469,476 | |||||||
NEUBERGER BERMAN GROUP
|
893,000 |
principal,
|
5.625%, due 03/15/2020
|
937,650 | |||||||
NEWFIELD EXPLORATION CO
|
1,100,000 |
principal,
|
6.875%, due 02/01/2020
|
1,178,375 | |||||||
NEWMONT MINING CORP
|
1,000,000 |
principal,
|
6.250%, due 10/01/2039
|
884,520 | |||||||
NEWS AMERICA INC
|
1,375,000 |
principal,
|
6.650%, due 11/15/2037
|
1,604,985 | |||||||
NEWS AMERICA INC
|
800,000 |
principal,
|
6.150%, due 02/15/2041
|
891,620 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
NEWS AMERICA INC
|
$ | 700,000 |
principal,
|
6.400%, due 12/15/2035
|
$ | 795,728 | |||||
NEWS AMERICA INC
|
2,000,000 |
principal,
|
7.250%, due 05/18/2018
|
2,415,654 | |||||||
NGPL PIPECO LLC
|
900,000 |
principal,
|
7.768%, due 12/15/2037
|
769,500 | |||||||
NIELSEN CO LUXEMBOURG
|
570,000 |
principal,
|
5.500%, due 10/01/2021
|
578,550 | |||||||
NIELSEN FINANCE LLC
|
1,387,000 |
principal,
|
4.500%, due 10/01/2020
|
1,348,858 | |||||||
NII INTERNATIONAL TELECOM
|
1,107,000 |
principal,
|
11.375%, due 08/15/2019
|
924,345 | |||||||
NORDSTROM INC
|
500,000 |
principal,
|
6.950%, due 03/15/2028
|
603,610 | |||||||
NORFOLK SOUTHERN CORP
|
1,000,000 |
principal,
|
5.750%, due 04/01/2018
|
1,139,317 | |||||||
NORFOLK SOUTHERN CORP
|
175,000 |
principal,
|
5.900%, due 06/15/2019
|
202,374 | |||||||
NORTEK INC
|
342,000 |
principal,
|
8.500%, due 04/15/2021
|
378,765 | |||||||
NORTHERN NATURAL GAS CO
|
1,600,000 |
principal,
|
4.100%, due 09/15/2042
|
1,382,819 | |||||||
NORTHWESTERN MUTUAL LIFE
|
100,000 |
principal,
|
6.063%, due 03/30/2040
|
112,351 | |||||||
NOVA CHEMICALS CORP
|
1,244,000 |
principal,
|
5.250%, due 08/01/2023
|
1,281,320 | |||||||
NOVELIS INC
|
1,650,000 |
principal,
|
8.750%, due 12/15/2020
|
1,835,625 | |||||||
NRG ENERGY INC
|
1,525,000 |
principal,
|
8.250%, due 09/01/2020
|
1,688,938 | |||||||
NUANCE COMMUNICATIONS INC
|
581,000 |
principal,
|
5.375%, due 08/15/2020
|
567,928 | |||||||
NUVEEN INVESTMENTS INC
|
456,000 |
principal,
|
9.125%, due 10/15/2017
|
456,000 | |||||||
NXP BV / NXP FUNDING LLC
|
456,000 |
principal,
|
5.750%, due 02/15/2021
|
476,520 | |||||||
OASIS PETROLEUM INC
|
1,691,000 |
principal,
|
6.875%, due 01/15/2023
|
1,800,915 | |||||||
OASIS PETROLEUM INC
|
425,000 |
principal,
|
6.875%, due 03/15/2022
|
450,500 | |||||||
OIL STATES INTERNATIONAL INC
|
336,000 |
principal,
|
5.125%, due 01/15/2023
|
378,840 | |||||||
OMNICARE INC
|
418,000 |
principal,
|
7.750%, due 06/01/2020
|
462,935 | |||||||
OMX TIMBER FINANCE INVESTMENTS
|
1,000,000 |
principal,
|
5.420%, due 01/29/2020
|
1,112,950 | |||||||
OSHKOSH CORP
|
665,000 |
principal,
|
8.500%, due 03/01/2020
|
734,825 | |||||||
PACIFIC DRILLING
|
751,000 |
principal,
|
5.375%, due 06/01/2020
|
754,755 | |||||||
PACIFIC GAS & ELECTRIC CO
|
310,000 |
principal,
|
6.050%, due 03/01/2034
|
355,103 | |||||||
PACIFIC GAS & ELECTRIC CO
|
500,000 |
principal,
|
6.250%, due 03/01/2039
|
573,567 | |||||||
PACIFIC LIFE INSURANCE CO
|
800,000 |
principal,
|
9.250%, due 06/15/2039
|
1,110,969 | |||||||
PARIS LAS VEGAS HOLDING
|
575,000 |
principal,
|
8.000%, due 10/01/2020
|
598,000 | |||||||
PEABODY ENERGY CORP
|
724,000 |
principal,
|
6.250%, due 11/15/2021
|
731,240 | |||||||
PENN NATIONAL GAMING INC
|
385,000 |
principal,
|
5.875%, due 11/01/2021
|
380,188 | |||||||
PETROBRAS GLOBAL FINANCE
|
6,780,000 |
principal,
|
2.000%, due 05/20/2016
|
6,774,637 | |||||||
PETROBRAS GLOBAL FINANCE
|
725,000 |
principal,
|
4.375%, due 05/20/2023
|
645,897 | |||||||
PETROBRAS INTERNATIONAL FINANCE
|
200,000 |
principal,
|
6.875%, due 01/20/2040
|
189,149 | |||||||
PETROBRAS INTERNATIONAL FINANCE
|
5,250,000 |
principal,
|
5.375%, due 01/27/2021
|
5,210,037 | |||||||
PETROLEOS MEXICANOS
|
100,000 |
principal,
|
8.000%, due 05/03/2019
|
121,000 | |||||||
PETROLEOS MEXICANOS
|
1,000,000 |
principal,
|
6.500%, due 06/02/2041
|
1,045,000 | |||||||
PHILIP MORRIS INTERNATIONAL
|
100,000 |
principal,
|
6.375%, due 05/16/2038
|
118,529 | |||||||
PHYSIO-CONTROL INTERNATIONAL
|
631,000 |
principal,
|
9.875%, due 01/15/2019
|
706,720 | |||||||
PINNACLE ENTERTAINMENT INC
|
1,250,000 |
principal,
|
8.750%, due 05/15/2020
|
1,378,125 | |||||||
PINNACLE FOODS FINANCE
|
285,000 |
principal,
|
4.875%, due 05/01/2021
|
269,325 | |||||||
PIONEER NATURAL RESOURCES CO
|
500,000 |
principal,
|
3.950%, due 07/15/2022
|
501,916 | |||||||
PLAINS ALL AMERICAN PIPELINE L
|
500,000 |
principal,
|
6.650%, due 01/15/2037
|
584,378 | |||||||
PLAINS ALL AMERICAN PIPELINE L
|
800,000 |
principal,
|
5.150%, due 06/01/2042
|
788,814 | |||||||
PLAINS ALL AMERICAN PIPELINE L
|
1,000,000 |
principal,
|
4.300%, due 01/31/2043
|
866,482 | |||||||
PLASTIPAK HOLDINGS INC
|
654,000 |
principal,
|
6.500%, due 10/01/2021
|
676,890 | |||||||
PLAYA FUNDING
|
171,570 |
principal,
|
4.750%, due 08/09/2019
|
173,071 | |||||||
PLAYA RESORTS HOLDING
|
575,000 |
principal,
|
8.000%, due 08/15/2020
|
610,219 | |||||||
PNK FINANCE CORP
|
679,000 |
principal,
|
6.375%, due 08/01/2021
|
694,278 | |||||||
PPG INDUSTRIES INC
|
200,000 |
principal,
|
5.500%, due 11/15/2040
|
208,475 | |||||||
PQ CORP
|
2,164,000 |
principal,
|
8.750%, due 05/01/2018
|
2,358,760 | |||||||
PRECISION DRILLING CORP
|
1,200,000 |
principal,
|
6.500%, due 12/15/2021
|
1,278,000 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
PRIDE INTERNATIONAL INC
|
$ | 700,000 |
principal,
|
7.875%, due 08/15/2040
|
$ | 949,906 | |||||
PRIVATE EXPORT FUNDING CORP
|
800,000 |
principal,
|
4.300%, due 12/15/2021
|
869,090 | |||||||
PROGRESS ENERGY INC
|
100,000 |
principal,
|
7.750%, due 03/01/2031
|
128,776 | |||||||
PROVIDENT COS INC
|
300,000 |
principal,
|
7.000%, due 07/15/2018
|
341,822 | |||||||
PROVIDENT COS INC
|
471,000 |
principal,
|
7.250%, due 03/15/2028
|
541,573 | |||||||
PROVIDENT FUNDING ASSOCIATIONAL
|
626,000 |
principal,
|
6.750%, due 06/15/2021
|
622,870 | |||||||
PUGET ENERGY INC
|
300,000 |
principal,
|
6.000%, due 09/01/2021
|
335,487 | |||||||
QEP RESOURCES INC
|
1,100,000 |
principal,
|
5.375%, due 10/01/2022
|
1,058,750 | |||||||
QEP RESOURCES INC
|
1,077,000 |
principal,
|
6.875%, due 03/01/2021
|
1,155,083 | |||||||
QUEBECOR MEDIA INC
|
722,000 |
principal,
|
5.750%, due 01/15/2023
|
698,535 | |||||||
QUIKSILVER INC
|
93,000 |
principal,
|
7.875%, due 08/01/2018
|
100,905 | |||||||
QVC INC
|
700,000 |
principal,
|
5.950%, due 03/15/2043
|
635,075 | |||||||
RANGE RESOURCES CORP
|
912,000 |
principal,
|
5.000%, due 03/15/2023
|
891,480 | |||||||
RCI BANQUE SA
|
2,000,000 |
principal,
|
3.400%, due 04/11/2014
|
2,011,066 | |||||||
REED ELSEVIER CAPITAL INC
|
442,000 |
principal,
|
8.625%, due 01/15/2019
|
554,144 | |||||||
REED ELSEVIER CAPITAL INC
|
1,993,000 |
principal,
|
3.125%, due 10/15/2022
|
1,843,035 | |||||||
REGENCY ENERGY PARTNERS LP
|
274,000 |
principal,
|
4.500%, due 11/01/2023
|
249,340 | |||||||
REGENCY ENERGY PARTNERS
|
1,729,000 |
principal,
|
5.500%, due 04/15/2023
|
1,685,775 | |||||||
RENAISSANCE ACQUISITION C
|
530,000 |
principal,
|
6.875%, due 08/15/2021
|
528,675 | |||||||
RENT-A-CENTER INC
|
1,250,000 |
principal,
|
4.750%, due 05/01/2021
|
1,173,438 | |||||||
REXEL SA
|
850,000 |
principal,
|
6.125%, due 12/15/2019
|
888,250 | |||||||
REYNOLDS GROUP ISSUER INC
|
4,316,000 |
principal,
|
STEP, due 02/15/2021
|
4,650,490 | |||||||
REYNOLDS GROUP ISSUER INC
|
1,558,000 |
principal,
|
VAR RT, due 02/15/2021
|
1,663,165 | |||||||
RIO TINTO FINANCE USA PLC
|
1,050,000 |
principal,
|
1.375%, due 06/17/2016
|
1,066,353 | |||||||
RITE AID CORP
|
460,000 |
principal,
|
6.750%, due 06/15/2021
|
482,425 | |||||||
ROCKIES EXPRESS PIPELINE
|
800,000 |
principal,
|
6.875%, due 04/15/2040
|
662,000 | |||||||
ROCKWOOD SPECIALTIES GROUP INC
|
1,225,000 |
principal,
|
4.625%, due 10/15/2020
|
1,251,031 | |||||||
ROYAL BANK OF SCOTLAND GROUP P
|
2,800,000 |
principal,
|
6.125%, due 12/15/2022
|
2,861,603 | |||||||
ROYAL BANK OF SCOTLAND GROUP P
|
825,000 |
principal,
|
6.000%, due 12/19/2023
|
830,874 | |||||||
ROYAL BANK OF SCOTLAND PLC
|
650,000 |
principal,
|
5.625%, due 08/24/2020
|
727,689 | |||||||
ROYAL BANK OF SCOTLAND PLC
|
400,000 |
principal,
|
6.125%, due 01/11/2021
|
452,744 | |||||||
ROYAL BANK OF SCOTLAND PLC
|
200,000 |
principal,
|
VAR RT, due 03/16/2022
|
234,156 | |||||||
ROYAL BANK OF SCOTLAND PLC
|
4,220,000 |
principal,
|
4.375%, due 03/16/2016
|
4,503,542 | |||||||
ROYAL CARIBBEAN CRUISES LTD
|
1,075,000 |
principal,
|
5.250%, due 11/15/2022
|
1,075,000 | |||||||
SABINE PASS LIQUEFACTION
|
563,000 |
principal,
|
6.250%, due 03/15/2022
|
558,778 | |||||||
SABINE PASS LIQUEFACTION
|
179,000 |
principal,
|
5.625%, due 04/15/2023
|
167,365 | |||||||
SABINE PASS LIQUEFACTION
|
627,000 |
principal,
|
5.625%, due 02/01/2021
|
612,893 | |||||||
SAFG RETIREMENT SERVICES INC
|
700,000 |
principal,
|
5.600%, due 07/31/2097
|
608,652 | |||||||
SALLY HOLDINGS LLC / SALLY CAPITAL
|
430,000 |
principal,
|
5.750%, due 06/01/2022
|
447,200 | |||||||
SAMSON INVESTMENT CO
|
1,250,000 |
principal,
|
VAR RT, due 02/15/2020
|
1,362,500 | |||||||
SANTANDER DRIVE AUTO RECE
|
575,537 |
principal,
|
0.570%, due 12/15/2015
|
575,588 | |||||||
SANTANDER DRIVE AUTO RECE
|
531,000 |
principal,
|
0.830%, due 12/15/2016
|
531,110 | |||||||
SBA COMMUNICATIONS CORP
|
160,000 |
principal,
|
5.625%, due 10/01/2019
|
164,800 | |||||||
SBA TELECOMMUNICATIONS INC
|
1,844,000 |
principal,
|
5.750%, due 07/15/2020
|
1,917,760 | |||||||
SBA TELECOMMUNICATIONS INC
|
207,000 |
principal,
|
8.250%, due 08/15/2019
|
222,008 | |||||||
SCHAEFFLER FINANCE BV
|
1,556,000 |
principal,
|
4.750%, due 05/15/2021
|
1,552,110 | |||||||
SCHAEFFLER FINANCE BV
|
323,000 |
principal,
|
8.500%, due 02/15/2019
|
363,375 | |||||||
SCHAEFFLER HOLDING FINANCE
|
630,000 |
principal,
|
6.875%, due 08/15/2018
|
667,800 | |||||||
SEALED AIR CORP
|
1,250,000 |
principal,
|
5.250%, due 04/01/2023
|
1,215,625 | |||||||
SENECA GAMING CORP
|
513,000 |
principal,
|
8.250%, due 12/01/2018
|
551,475 | |||||||
SERTA SIMMONS HOLDINGS
|
456,000 |
principal,
|
8.125%, due 10/01/2020
|
495,900 | |||||||
SERVICE CORP INTERNATIONAL
|
206,000 |
principal,
|
5.375%, due 01/15/2022
|
208,575 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
SERVICE CORP INTERNATIONAL
|
$ | 825,000 |
principal,
|
4.500%, due 11/15/2020
|
$ | 796,125 | |||||
SHEA HOMES LP / SHEA HOMES FUNDING
|
900,000 |
principal,
|
8.625%, due 05/15/2019
|
996,750 | |||||||
SHELL INTERNATIONAL FINANCE BV
|
100,000 |
principal,
|
5.500%, due 03/25/2040
|
111,094 | |||||||
SHELL INTERNATIONAL FINANCE BV
|
400,000 |
principal,
|
3.625%, due 08/21/2042
|
334,550 | |||||||
SHELL INTERNATIONAL FINANCE BV
|
5,000,000 |
principal,
|
1.125%, due 08/21/2017
|
4,931,100 | |||||||
SILVER II BORROWER
|
547,000 |
principal,
|
7.750%, due 12/15/2020
|
579,820 | |||||||
SIWF MERGER SUB INC
|
475,000 |
principal,
|
6.250%, due 06/01/2021
|
479,156 | |||||||
SLM CORP
|
300,000 |
principal,
|
5.625%, due 08/01/2033
|
248,625 | |||||||
SLM CORP
|
2,450,000 |
principal,
|
8.000%, due 03/25/2020
|
2,774,625 | |||||||
SLM CORP
|
4,750,000 |
principal,
|
4.625%, due 09/25/2017
|
4,930,604 | |||||||
SLM CORP
|
1,325,000 |
principal,
|
8.450%, due 06/15/2018
|
1,543,625 | |||||||
SLM CORP
|
1,475,000 |
principal,
|
6.000%, due 01/25/2017
|
1,596,688 | |||||||
SLC STUDENT LOAN TRUST
|
485,193 |
principal,
|
VAR RT, due 11/25/2042
|
492,772 | |||||||
SLM PRIVATE EDUCATION A 1A
|
894,517 |
principal,
|
VAR RT, due 05/16/2044
|
928,932 | |||||||
SLM PRIVATE EDUCATION A 2A
|
1,612,366 |
principal,
|
VAR RT, due 05/16/2044
|
1,708,845 | |||||||
SLM PRIVATE EDUCATION B 2A
|
2,700,000 |
principal,
|
3.480%, due 10/15/2030
|
2,820,115 | |||||||
SLM STUDENT LOAN TRUST B A2A
|
1,259,000 |
principal,
|
1.850%, due 06/17/2030
|
1,214,148 | |||||||
SLM STUDENT LOAN TRUST E A2B
|
713,000 |
principal,
|
VAR RT, due 06/15/2045
|
726,342 | |||||||
SLM STUDENT LOAN TRUST C A1
|
201,693 |
principal,
|
VAR RT, due 08/15/2023
|
202,834 | |||||||
SLM STUDENT LOAN TRUST 1
|
1,572,000 |
principal,
|
VAR RT, due 09/25/2019
|
1,565,567 | |||||||
SLM STUDENT LOAN TRUST 2 6 A5B
|
390,116 |
principal,
|
VAR RT, due 07/27/2026
|
398,152 | |||||||
SLM STUDENT LOAN TRUST 20 2 A2
|
394,313 |
principal,
|
VAR RT, due 07/25/2017
|
393,511 | |||||||
SLM STUDENT LOAN TRUST 20 3 A4
|
367,711 |
principal,
|
VAR RT, due 07/25/2019
|
365,997 | |||||||
SLM STUDENT LOAN TRUST 20 6 A2
|
3,251,791 |
principal,
|
VAR RT, due 10/25/2022
|
3,242,247 | |||||||
SLM STUDENT LOAN TRUST 20 6 A4
|
163,017 |
principal,
|
VAR RT, due 12/17/2018
|
162,866 | |||||||
SLM STUDENT LOAN TRUST 200 9 A
|
170,985 |
principal,
|
VAR RT, due 04/25/2023
|
176,171 | |||||||
SLM STUDENT LOAN TRUST 201 1 A
|
1,114,190 |
principal,
|
VAR RT, due 03/25/2025
|
1,110,591 | |||||||
SLM STUDENT LOAN TRUST 3 A2
|
1,279,000 |
principal,
|
VAR RT, due 05/26/2020
|
1,274,490 | |||||||
SLM STUDENT LOAN TRUST 5 A2
|
979,000 |
principal,
|
VAR RT, due 10/26/2020
|
978,921 | |||||||
SLM STUDENT LOAN TRUST 6 A2
|
1,236,000 |
principal,
|
VAR RT, due 02/25/2021
|
1,236,030 | |||||||
SM ENERGY CO
|
413,000 |
principal,
|
6.500%, due 11/15/2021
|
437,780 | |||||||
SM ENERGY CO
|
940,000 |
principal,
|
5.000%, due 01/15/2024
|
895,350 | |||||||
SMITHFIELD FOODS INC
|
965,000 |
principal,
|
6.625%, due 08/15/2022
|
1,022,900 | |||||||
SOFTBANK CORP
|
293,000 |
principal,
|
4.500%, due 04/15/2020
|
285,675 | |||||||
SOUTHERN CALIFORNIA EDISON CO
|
130,000 |
principal,
|
5.625%, due 02/01/2036
|
145,164 | |||||||
SOUTHERN CALIFORNIA EDISON CO
|
100,000 |
principal,
|
5.550%, due 01/15/2037
|
110,459 | |||||||
SOUTHWESTERN ENERGY CO
|
100,000 |
principal,
|
4.100%, due 03/15/2022
|
99,131 | |||||||
SPCM SA
|
635,000 |
principal,
|
6.000%, due 01/15/2022
|
669,925 | |||||||
SPECTRUM BRANDS INC
|
1,729,000 |
principal,
|
6.750%, due 03/15/2020
|
1,860,836 | |||||||
SPRINGLEAF FINANCE CORP
|
1,100,000 |
principal,
|
7.750%, due 10/01/2021
|
1,188,000 | |||||||
SPRINGLEAF FINANCE CORP
|
280,000 |
principal,
|
8.250%, due 10/01/2023
|
303,100 | |||||||
SPRINT CORP
|
2,593,000 |
principal,
|
7.875%, due 09/15/2023
|
2,787,475 | |||||||
SPRINT CORP
|
593,000 |
principal,
|
7.250%, due 09/15/2021
|
636,734 | |||||||
SPRINT CORP
|
201,000 |
principal,
|
7.125%, due 06/15/2024
|
204,015 | |||||||
SPRINT NEXTEL CORP
|
1,775,000 |
principal,
|
6.000%, due 12/01/2016
|
1,936,969 | |||||||
SPRINT NEXTEL CORP
|
5,597,000 |
principal,
|
6.000%, due 11/15/2022
|
5,457,075 | |||||||
SPRINT NEXTEL CORP
|
1,976,000 |
principal,
|
7.000%, due 03/01/2020
|
2,203,240 | |||||||
STANDARD PACIFIC CORP
|
950,000 |
principal,
|
8.375%, due 05/15/2018
|
1,116,250 | |||||||
STANDARD PACIFIC CORP
|
330,000 |
principal,
|
8.375%, due 01/15/2021
|
384,450 | |||||||
STATOIL ASA
|
400,000 |
principal,
|
4.250%, due 11/23/2041
|
366,652 | |||||||
STONE STREET TRUST
|
1,500,000 |
principal,
|
5.902%, due 12/15/2015
|
1,607,675 | |||||||
SUGARHOUSE HSP GAMING PRO
|
353,000 |
principal,
|
6.375%, due 06/01/2021
|
340,645 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
SUMITOMO MITSUI BANKING C
|
$ | 5,000,000 |
principal,
|
1.950%, due 01/14/2014
|
$ | 5,002,000 | |||||
SUNGARD DATA SYSTEMS INC
|
1,050,000 |
principal,
|
7.625%, due 11/15/2020
|
1,144,500 | |||||||
SUNGARD DATA SYSTEMS INC
|
600,000 |
principal,
|
6.625%, due 11/01/2019
|
630,000 | |||||||
SWIFT ENERGY CO
|
870,000 |
principal,
|
7.875%, due 03/01/2022
|
861,300 | |||||||
SYNOVUS FINANCIAL CORP
|
817,000 |
principal,
|
7.875%, due 02/15/2019
|
917,083 | |||||||
TARGA RESOURCES PARTNERS LP
|
1,100,000 |
principal,
|
6.875%, due 02/01/2021
|
1,182,500 | |||||||
TAYLOR MORRISON COMMUNITION
|
413,000 |
principal,
|
5.250%, due 04/15/2021
|
401,643 | |||||||
TEACHERS INSURANCE & ANNUITY
|
100,000 |
principal,
|
6.850%, due 12/16/2039
|
123,439 | |||||||
TECK RESOURCES LTD
|
500,000 |
principal,
|
6.250%, due 07/15/2041
|
497,715 | |||||||
TELECOM ITALIA CAPITAL SA
|
6,200,000 |
principal,
|
6.999%, due 06/04/2018
|
6,866,500 | |||||||
TELECOM ITALIA CAPITAL SA
|
2,805,000 |
principal,
|
7.175%, due 06/18/2019
|
3,148,613 | |||||||
TELECOM ITALIA CAPITAL SA
|
600,000 |
principal,
|
7.200%, due 07/18/2036
|
577,500 | |||||||
TEMPUR SEALY INTERNATIONAL INC
|
437,000 |
principal,
|
6.875%, due 12/15/2020
|
476,330 | |||||||
TENET HEALTHCARE CORP
|
760,000 |
principal,
|
4.500%, due 04/01/2021
|
720,100 | |||||||
TENET HEALTHCARE CORP
|
865,000 |
principal,
|
8.125%, due 04/01/2022
|
932,038 | |||||||
TENET HEALTHCARE CORP
|
1,935,000 |
principal,
|
6.000%, due 10/01/2020
|
2,019,656 | |||||||
TEREX CORP
|
1,500,000 |
principal,
|
6.000%, due 05/15/2021
|
1,550,625 | |||||||
TESORO LOGISTICS LP
|
1,200,000 |
principal,
|
5.875%, due 10/01/2020
|
1,227,000 | |||||||
TEXAS INDUSTRIES INC
|
1,250,000 |
principal,
|
9.250%, due 08/15/2020
|
1,392,188 | |||||||
TIME WARNER CABLE INC
|
1,125,000 |
principal,
|
6.550%, due 05/01/2037
|
1,041,023 | |||||||
TIME WARNER CABLE INC
|
825,000 |
principal,
|
8.750%, due 02/14/2019
|
984,095 | |||||||
TIME WARNER CABLE INC
|
3,850,000 |
principal,
|
8.250%, due 04/01/2019
|
4,510,294 | |||||||
TIME WARNER CABLE INC
|
1,600,000 |
principal,
|
5.500%, due 09/01/2041
|
1,325,782 | |||||||
TIME WARNER CABLE INC
|
600,000 |
principal,
|
5.875%, due 11/15/2040
|
519,028 | |||||||
TIME WARNER CABLE INC
|
5,950,000 |
principal,
|
6.750%, due 07/01/2018
|
6,672,556 | |||||||
TIME WARNER ENTERTAINMENT CO
|
524,000 |
principal,
|
8.375%, due 03/15/2023
|
602,694 | |||||||
TIME WARNER INC
|
3,550,000 |
principal,
|
7.625%, due 04/15/2031
|
4,492,759 | |||||||
TIME WARNER INC
|
725,000 |
principal,
|
7.700%, due 05/01/2032
|
930,879 | |||||||
TIME WARNER INC
|
100,000 |
principal,
|
6.200%, due 03/15/2040
|
110,166 | |||||||
TIME WARNER INC
|
900,000 |
principal,
|
5.375%, due 10/15/2041
|
910,353 | |||||||
TIME WARNER INC
|
200,000 |
principal,
|
4.900%, due 06/15/2042
|
189,858 | |||||||
TIME WARNER INC
|
100,000 |
principal,
|
6.250%, due 03/29/2041
|
111,048 | |||||||
TIME WARNER INC
|
1,800,000 |
principal,
|
6.100%, due 07/15/2040
|
1,964,461 | |||||||
TITAN INTERNATIONAL INC
|
263,000 |
principal,
|
6.875%, due 10/01/2020
|
274,178 | |||||||
T-MOBILE USA INC
|
633,000 |
principal,
|
6.542%, due 04/28/2020
|
672,563 | |||||||
T-MOBILE USA INC
|
1,220,000 |
principal,
|
6.125%, due 01/15/2022
|
1,241,350 | |||||||
T-MOBILE USA INC
|
433,000 |
principal,
|
6.633%, due 04/28/2021
|
455,733 | |||||||
T-MOBILE USA INC
|
78,000 |
principal,
|
6.836%, due 04/28/2023
|
80,925 | |||||||
T-MOBILE USA INC
|
377,000 |
principal,
|
6.731%, due 04/28/2022
|
393,023 | |||||||
T-MOBILE USA INC
|
320,000 |
principal,
|
6.500%, due 01/15/2024
|
324,000 | |||||||
T-MOBILE USA INC
|
500,000 |
principal,
|
5.250%, due 09/01/2018
|
526,250 | |||||||
TRANSCANADA PIPELINES LTD
|
200,000 |
principal,
|
7.250%, due 08/15/2038
|
253,432 | |||||||
TRANSCANADA PIPELINES LTD
|
100,000 |
principal,
|
7.625%, due 01/15/2039
|
133,475 | |||||||
TRANSCONTINENTAL GAS PIPELINE
|
200,000 |
principal,
|
4.450%, due 08/01/2042
|
177,938 | |||||||
TRANSDIGM INC
|
975,000 |
principal,
|
7.750%, due 12/15/2018
|
1,045,688 | |||||||
TRANSDIGM INC
|
57,000 |
principal,
|
5.500%, due 10/15/2020
|
55,718 | |||||||
TRANSDIGM INC
|
261,000 |
principal,
|
7.500%, due 07/15/2021
|
280,575 | |||||||
TRANSOCEAN INC
|
600,000 |
principal,
|
6.800%, due 03/15/2038
|
667,808 | |||||||
TRIPLE POINT
|
293,000 |
principal,
|
9.250%, due 07/09/2021
|
246,120 | |||||||
TRIUMPH GROUP INC
|
1,200,000 |
principal,
|
4.875%, due 04/01/2021
|
1,164,000 | |||||||
TRW AUTOMOTIVE INC
|
875,000 |
principal,
|
4.500%, due 03/01/2021
|
883,750 | |||||||
UBS AG/STAMFORD CT
|
1,744,000 |
principal,
|
2.250%, due 01/28/2014
|
1,746,245 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
U.S. RENAL CARE
|
$ | 168,000 |
principal,
|
4.250%, due 07/03/2019
|
$ | 168,420 | |||||
U.S. RENAL CARE
|
150,000 |
principal,
|
8.500%, due 01/03/2020
|
151,500 | |||||||
UNIFRAX I LLC / UNIFRAX H
|
266,000 |
principal,
|
7.500%, due 02/15/2019
|
275,310 | |||||||
UNION PACIFIC CORP
|
700,000 |
principal,
|
4.163%, due 07/15/2022
|
720,149 | |||||||
UNION PACIFIC CORP
|
100,000 |
principal,
|
4.821%, due 02/01/2044
|
96,852 | |||||||
UNION PACIFIC RAILROAD CO 1999
|
181,669 |
principal,
|
7.600%, due 01/02/2020
|
211,882 | |||||||
UNION PACIFIC RAILROAD CO 2003
|
646,403 |
principal,
|
4.698%, due 01/02/2024
|
700,310 | |||||||
UNION PACIFIC RAILROAD CO 2005
|
231,941 |
principal,
|
5.082%, due 01/02/2029
|
252,703 | |||||||
UNION PACIFIC RAILROAD CO 2006
|
519,911 |
principal,
|
5.866%, due 07/02/2030
|
598,643 | |||||||
UNION PACIFIC RAILROAD CO 2007
|
1,978,803 |
principal,
|
6.176%, due 01/02/2031
|
2,258,229 | |||||||
UNITED AIRLINES INC
|
750,000 |
principal,
|
6.750%, due 09/15/2015
|
773,438 | |||||||
UNITED RENTALS NORTH AMERICA
|
1,590,000 |
principal,
|
7.625%, due 04/15/2022
|
1,766,888 | |||||||
UNITED RENTALS NORTH AMERICA
|
84,000 |
principal,
|
6.125%, due 06/15/2023
|
85,260 | |||||||
UNITED RENTALS NORTH AMERICA
|
1,431,000 |
principal,
|
7.375%, due 05/15/2020
|
1,586,621 | |||||||
UNITED STATES STEEL CORP
|
1,100,000 |
principal,
|
7.375%, due 04/01/2020
|
1,185,250 | |||||||
UNITEDHEALTH GROUP INC
|
200,000 |
principal,
|
4.625%, due 11/15/2041
|
188,924 | |||||||
UNITYMEDIA HESSEN GMBH
|
361,000 |
principal,
|
5.500%, due 01/15/2023
|
350,170 | |||||||
UNIVISION COMMUNICATIONS
|
407,000 |
principal,
|
8.500%, due 05/15/2021
|
447,700 | |||||||
UNIVISION COMMUNICATIONS
|
1,273,000 |
principal,
|
6.750%, due 09/15/2022
|
1,393,935 | |||||||
UNUM GROUP
|
191,000 |
principal,
|
6.750%, due 12/15/2028
|
210,873 | |||||||
UNUMPROVIDENT FINANCE CO PLC
|
125,000 |
principal,
|
6.850%, due 11/15/2015
|
136,815 | |||||||
US AIRWAYS
|
1,350,000 |
principal,
|
5.375%, due 05/15/2023
|
1,329,750 | |||||||
US COATINGS ACQUISITION
|
1,748,000 |
principal,
|
7.375%, due 05/01/2021
|
1,863,806 | |||||||
USG CORP
|
1,350,000 |
principal,
|
7.875%, due 03/30/2020
|
1,518,750 | |||||||
USG CORP
|
141,000 |
principal,
|
5.875%, due 11/01/2021
|
146,640 | |||||||
VALE OVERSEAS LTD
|
200,000 |
principal,
|
6.875%, due 11/10/2039
|
206,885 | |||||||
VALEANT PHARMACEUTICALS
|
884,000 |
principal,
|
5.625%, due 12/01/2021
|
888,420 | |||||||
VALEANT PHARMACEUTICALS
|
1,401,000 |
principal,
|
6.375%, due 10/15/2020
|
1,476,304 | |||||||
VERISIGN INC
|
329,000 |
principal,
|
4.625%, due 05/01/2023
|
314,195 | |||||||
VERIZON COMMUNICATIONS INC
|
4,275,000 |
principal,
|
5.150%, due 09/15/2023
|
4,590,033 | |||||||
VERIZON COMMUNICATIONS INC
|
2,750,000 |
principal,
|
6.550%, due 09/15/2043
|
3,217,387 | |||||||
VERIZON COMMUNICATIONS INC
|
300,000 |
principal,
|
7.350%, due 04/01/2039
|
372,598 | |||||||
VERIZON COMMUNICATIONS INC
|
700,000 |
principal,
|
6.000%, due 04/01/2041
|
768,552 | |||||||
VERIZON COMMUNICATIONS INC
|
130,000 |
principal,
|
5.850%, due 09/15/2035
|
138,017 | |||||||
VERIZON COMMUNICATIONS INC
|
4,000,000 |
principal,
|
6.400%, due 09/15/2033
|
4,600,484 | |||||||
VERIZON COMMUNICATIONS INC
|
8,925,000 |
principal,
|
3.650%, due 09/14/2018
|
9,447,684 | |||||||
VERIZON COMMUNICATIONS INC
|
2,350,000 |
principal,
|
1.950%, due 03/28/2014
|
2,358,632 | |||||||
VIASAT INC
|
800,000 |
principal,
|
6.875%, due 06/15/2020
|
846,000 | |||||||
VIDEOTRON LTD
|
905,000 |
principal,
|
5.000%, due 07/15/2022
|
884,638 | |||||||
VIRGINIA ELECTRIC AND POWER CO
|
240,000 |
principal,
|
6.000%, due 05/15/2037
|
280,368 | |||||||
VISTEON CORP
|
836,000 |
principal,
|
6.750%, due 04/15/2019
|
888,250 | |||||||
VODAFONE GROUP PLC
|
200,000 |
principal,
|
6.150%, due 02/27/2037
|
216,753 | |||||||
VPII ESCROW CORP
|
1,810,000 |
principal,
|
7.500%, due 07/15/2021
|
1,986,475 | |||||||
VPII ESCROW CORP
|
259,000 |
principal,
|
6.750%, due 08/15/2018
|
284,576 | |||||||
VULCAN MATERIALS CO
|
525,000 |
principal,
|
6.500%, due 12/01/2016
|
588,000 | |||||||
VULCAN MATERIALS CO
|
1,515,000 |
principal,
|
7.500%, due 06/15/2021
|
1,727,100 | |||||||
WACHOVIA BANK NA
|
725,000 |
principal,
|
6.000%, due 11/15/2017
|
836,578 | |||||||
WACHOVIA BANK NA
|
300,000 |
principal,
|
5.850%, due 02/01/2037
|
342,514 | |||||||
WACHOVIA CORP
|
2,350,000 |
principal,
|
5.750%, due 02/01/2018
|
2,709,733 | |||||||
WAL-MART STORES INC
|
400,000 |
principal,
|
6.500%, due 08/15/2037
|
500,372 | |||||||
WAL-MART STORES INC
|
400,000 |
principal,
|
6.200%, due 04/15/2038
|
480,740 | |||||||
WAL-MART STORES INC
|
900,000 |
principal,
|
5.625%, due 04/15/2041
|
1,021,927 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Corporate debt (continued) | |||||||||||
WAL-MART STORES INC
|
$ | 3,700,000 |
principal,
|
5.800%, due 02/15/2018
|
$ | 4,275,687 | |||||
WALT DISNEY CO
|
5,400,000 |
principal,
|
1.100%, due 12/01/2017
|
5,321,047 | |||||||
WEATHER CHANNEL
|
57,000 |
principal,
|
0.000%, due 12/11/2020
|
58,532 | |||||||
WELLPOINT INC
|
5,000,000 |
principal,
|
5.875%, due 06/15/2017
|
5,639,605 | |||||||
WELLPOINT INC
|
1,830,000 |
principal,
|
7.000%, due 02/15/2019
|
2,171,290 | |||||||
WELLPOINT INC
|
800,000 |
principal,
|
4.625%, due 05/15/2042
|
739,371 | |||||||
WELLS FARGO COMMERCIAL
|
100,000 |
principal,
|
4.393%, due 11/15/2043
|
106,255 | |||||||
WELLS FARGO & CO
|
2,000,000 |
principal,
|
5.625%, due 12/11/2017
|
2,292,390 | |||||||
WEYERHAEUSER CO
|
1,100,000 |
principal,
|
7.375%, due 03/15/2032
|
1,346,021 | |||||||
WHITING PETROLEUM CORP
|
2,093,000 |
principal,
|
5.750%, due 03/15/2021
|
2,166,255 | |||||||
WILLIAM CARTER CO
|
94,000 |
principal,
|
5.250%, due 08/15/2021
|
95,410 | |||||||
WILLIAMS COS INC
|
495,000 |
principal,
|
7.500%, due 01/15/2031
|
523,198 | |||||||
WILLIAMS COS INC
|
124,000 |
principal,
|
VAR RT, due 03/15/2032
|
144,772 | |||||||
WIND ACQUISITION FINANCE
|
918,000 |
principal,
|
6.500%, due 04/30/2020
|
977,670 | |||||||
WINDSTREAM CORP
|
461,000 |
principal,
|
6.375%, due 08/01/2023
|
431,035 | |||||||
WOODSIDE FINANCE LTD
|
3,250,000 |
principal,
|
4.500%, due 11/10/2014
|
3,350,542 | |||||||
WOODSIDE HOMES CO LLC
|
194,000 |
principal,
|
6.750%, due 12/15/2021
|
194,485 | |||||||
WYETH LLC
|
500,000 |
principal,
|
6.500%, due 02/01/2034
|
612,051 | |||||||
WYETH LLC
|
100,000 |
principal,
|
5.950%, due 04/01/2037
|
115,920 | |||||||
XEROX CORP
|
1,475,000 |
principal,
|
4.500%, due 05/15/2021
|
1,518,198 | |||||||
XEROX CORP
|
650,000 |
principal,
|
6.350%, due 05/15/2018
|
742,872 | |||||||
XEROX CORP
|
5,600,000 |
principal,
|
2.950%, due 03/15/2017
|
5,748,898 | |||||||
XEROX CORP
|
1,500,000 |
principal,
|
6.750%, due 02/01/2017
|
1,703,622 | |||||||
ZOETIS INC
|
4,500,000 |
principal,
|
1.875%, due 02/01/2018
|
4,462,956 | |||||||
Total corporate debt
|
$ | 991,933,666 |
U.S. Government securities | |||||||||||
DBUBS 2011-LC2 LC2A A1FL
|
$ | 701,116 |
principal,
|
VAR RT, due 07/12/2044
|
$ | 712,564 | |||||
DBUBS 2011-LC2 MO LC2A A1
|
1,259,671 |
principal,
|
3.527%, due 07/10/2044
|
1,328,502 | |||||||
FEDERAL HOME LN BK CONS DISC
|
27,800,000 |
principal,
|
0.000%, due 01/22/2010
|
27,796,497 | |||||||
FEDERAL HOME LN BK CONS DISC
|
57,600,000 |
principal,
|
0.000%, due 01/03/2014
|
57,596,960 | |||||||
FEDERAL HOME LN BK CONS DISC
|
500,000 |
principal,
|
0.000%, due 01/02/2014
|
499,919 | |||||||
FEDERAL HOME LN MTG CORP
|
100,000 |
principal,
|
6.750%, due 03/15/2031
|
132,309 | |||||||
FEDERAL HOME LN MTG CORP
|
600,000 |
principal,
|
2.375%, due 01/13/2022
|
573,579 | |||||||
FEDERAL HOME LN MTG CORP DISC
|
2,100,000 |
principal,
|
0.000%, due 01/06/2014
|
2,099,659 | |||||||
FEDERAL HOME LN MTG CORP DISC
|
13,700,000 |
principal,
|
0.000%, due 07/01/2014
|
13,689,767 | |||||||
FEDERAL HOME LN MTG CORP STRIP
|
2,200,000 |
principal,
|
0.000%, due 03/15/2031
|
974,382 | |||||||
FEDERAL NATL MTG ASSN
|
4,500,000 |
principal,
|
8.100%, due 08/12/2019
|
5,852,745 | |||||||
FEDERAL NATL MTG ASSN
|
1,700,000 |
principal,
|
7.125%, due 01/15/2030
|
2,304,597 | |||||||
FEDERAL NATL MTG ASSN
|
500,000 |
principal,
|
7.250%, due 05/15/2030
|
686,359 | |||||||
FEDERAL NATL MTG ASSN
|
3,900,000 |
principal,
|
6.625%, due 11/15/2030
|
5,073,034 | |||||||
FEDERAL NATL MTG ASSN
|
200,000 |
principal,
|
0.000%, due 06/01/2017
|
190,655 | |||||||
FEDERAL NATL MTG ASSN
|
1,600,000 |
principal,
|
0.000%, due 11/15/2030
|
721,675 | |||||||
FEDERAL NATL MTG ASSN STRIP
|
3,300,000 |
principal,
|
0.000%, due 03/23/2028
|
1,763,817 | |||||||
FEDERAL NATL MTG ASSN STRIP
|
200,000 |
principal,
|
0.000%, due 11/15/2030
|
91,459 | |||||||
FHLMC POOL
|
293,816 |
principal,
|
5.140%, due 08/18/2015
|
310,019 | |||||||
FHLMC POOL
|
1,819,107 |
principal,
|
VAR RT, due 08/01/2041
|
1,890,437 | |||||||
FHLMC POOL
|
2,902,808 |
principal,
|
VAR RT, due 04/01/2038
|
3,114,780 | |||||||
FHLMC POOL
|
254,478 |
principal,
|
VAR RT, due 03/01/2036
|
268,926 | |||||||
FHLMC POOL
|
1,582,467 |
principal,
|
VAR RT, due 12/01/2037
|
1,678,325 | |||||||
FHLMC POOL
|
1,742,226 |
principal,
|
VAR RT, due 11/01/2037
|
1,852,746 | |||||||
FHLMC POOL
|
5,350,122 |
principal,
|
VAR RT, due 08/01/2037
|
5,707,781 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
FHLMC POOL
|
$ | 131,288 |
principal,
|
VAR RT, due 10/01/2038
|
$ | 140,531 | |||||
FHLMC POOL
|
4,992 |
principal,
|
VAR RT, due 12/01/2042
|
5,001 | |||||||
FHLMC POOL
|
3,511,436 |
principal,
|
VAR RT, due 02/01/2043
|
3,514,346 | |||||||
FHLMC POOL
|
3,168,609 |
principal,
|
VAR RT, due 06/01/2043
|
3,229,997 | |||||||
FHLMC POOL
|
214,198 |
principal,
|
VAR RT, due 03/01/2035
|
226,445 | |||||||
FHLMC POOL
|
2,363,254 |
principal,
|
VAR RT, due 07/01/2038
|
2,491,540 | |||||||
FHLMC POOL
|
518,098 |
principal,
|
VAR RT, due 10/01/2043
|
536,787 | |||||||
FHLMC POOL
|
145,027 |
principal,
|
6.500%, due 08/01/2037
|
161,157 | |||||||
FHLMC POOL
|
369,802 |
principal,
|
4.500%, due 03/01/2019
|
391,979 | |||||||
FHLMC POOL
|
391,331 |
principal,
|
5.000%, due 06/01/2019
|
414,499 | |||||||
FHLMC POOL
|
1,278,707 |
principal,
|
4.500%, due 07/01/2019
|
1,355,034 | |||||||
FHLMC POOL
|
295,790 |
principal,
|
5.500%, due 10/01/2033
|
325,592 | |||||||
FHLMC POOL
|
216,334 |
principal,
|
5.500%, due 05/01/2023
|
236,053 | |||||||
FHLMC POOL
|
314,201 |
principal,
|
4.500%, due 08/01/2023
|
332,382 | |||||||
FHLMC POOL
|
144,101 |
principal,
|
4.500%, due 05/01/2024
|
155,762 | |||||||
FHLMC POOL
|
220,897 |
principal,
|
5.000%, due 12/01/2024
|
238,232 | |||||||
FHLMC POOL
|
739,730 |
principal,
|
4.000%, due 09/01/2030
|
773,724 | |||||||
FHLMC POOL
|
839,269 |
principal,
|
4.000%, due 10/01/2030
|
877,852 | |||||||
FHLMC POOL
|
144,195 |
principal,
|
6.500%, due 07/01/2016
|
151,277 | |||||||
FHLMC POOL
|
163,473 |
principal,
|
4.000%, due 06/01/2018
|
172,863 | |||||||
FHLMC POOL
|
169,279 |
principal,
|
4.000%, due 07/01/2018
|
178,979 | |||||||
FHLMC POOL
|
263,456 |
principal,
|
3.500%, due 08/01/2018
|
276,504 | |||||||
FHLMC POOL
|
73,577 |
principal,
|
6.000%, due 12/01/2022
|
80,561 | |||||||
FHLMC POOL
|
1,070,094 |
principal,
|
4.500%, due 03/01/2025
|
1,147,626 | |||||||
FHLMC POOL
|
963,627 |
principal,
|
5.000%, due 03/01/2018
|
1,020,221 | |||||||
FHLMC POOL
|
371,953 |
principal,
|
4.500%, due 06/01/2018
|
394,214 | |||||||
FHLMC POOL
|
94,243 |
principal,
|
4.500%, due 08/01/2018
|
99,864 | |||||||
FHLMC POOL
|
305,184 |
principal,
|
5.500%, due 12/01/2019
|
325,601 | |||||||
FHLMC POOL
|
209,535 |
principal,
|
5.500%, due 03/01/2034
|
230,408 | |||||||
FHLMC POOL
|
964,673 |
principal,
|
5.500%, due 01/01/2035
|
1,057,187 | |||||||
FHLMC POOL
|
493,896 |
principal,
|
6.500%, due 12/01/2032
|
555,747 | |||||||
FHLMC POOL
|
336,895 |
principal,
|
6.500%, due 12/01/2031
|
379,215 | |||||||
FHLMC POOL
|
390,902 |
principal,
|
5.500%, due 01/01/2035
|
428,412 | |||||||
FHLMC POOL
|
388,669 |
principal,
|
5.000%, due 07/01/2035
|
420,451 | |||||||
FHLMC POOL
|
1,412,284 |
principal,
|
6.000%, due 05/01/2037
|
1,561,148 | |||||||
FHLMC POOL
|
428,780 |
principal,
|
6.000%, due 11/01/2037
|
472,787 | |||||||
FHLMC POOL
|
1,280,994 |
principal,
|
6.000%, due 06/01/2038
|
1,411,957 | |||||||
FHLMC POOL
|
637,672 |
principal,
|
6.000%, due 09/01/2038
|
705,091 | |||||||
FHLMC POOL
|
4,210,124 |
principal,
|
6.000%, due 06/01/2038
|
4,645,574 | |||||||
FHLMC POOL
|
129,833 |
principal,
|
7.000%, due 08/01/2038
|
143,794 | |||||||
FHLMC POOL
|
232,815 |
principal,
|
4.500%, due 02/01/2037
|
247,138 | |||||||
FHLMC POOL
|
1,065,593 |
principal,
|
5.500%, due 10/01/2038
|
1,161,362 | |||||||
FHLMC POOL
|
2,089,062 |
principal,
|
5.500%, due 12/01/2039
|
2,276,984 | |||||||
FHLMC POOL
|
4,739,611 |
principal,
|
6.500%, due 12/01/2038
|
5,315,743 | |||||||
FHLMC POOL
|
653,953 |
principal,
|
6.000%, due 11/01/2037
|
720,809 | |||||||
FHLMC POOL
|
422,685 |
principal,
|
4.500%, due 12/01/2037
|
448,696 | |||||||
FHLMC POOL
|
1,022,258 |
principal,
|
6.000%, due 05/01/2040
|
1,129,031 | |||||||
FHLMC POOL
|
3,775,253 |
principal,
|
4.500%, due 03/01/2042
|
3,999,814 | |||||||
FHLMC POOL
|
4,889,865 |
principal,
|
4.500%, due 07/01/2041
|
5,180,722 | |||||||
FHLMC POOL
|
186,000 |
principal,
|
6.000%, due 03/01/2018
|
195,336 | |||||||
FHLMC POOL
|
86,499 |
principal,
|
6.000%, due 02/01/2019
|
90,072 | |||||||
FHLMC POOL
|
113,252 |
principal,
|
5.000%, due 02/01/2020
|
121,436 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
FHLMC POOL
|
$ | 1,118,458 |
principal,
|
4.500%, due 09/01/2020
|
$ | 1,188,171 | |||||
FHLMC POOL
|
1,221,533 |
principal,
|
5.000%, due 12/01/2020
|
1,296,880 | |||||||
FHLMC POOL
|
787,585 |
principal,
|
4.500%, due 01/01/2021
|
836,760 | |||||||
FHLMC POOL
|
899,754 |
principal,
|
5.500%, due 04/01/2021
|
978,603 | |||||||
FHLMC POOL
|
527,208 |
principal,
|
5.000%, due 04/01/2021
|
559,719 | |||||||
FHLMC POOL
|
415,346 |
principal,
|
4.500%, due 06/01/2021
|
441,289 | |||||||
FHLMC POOL
|
1,165,657 |
principal,
|
5.500%, due 07/01/2021
|
1,267,718 | |||||||
FHLMC POOL
|
306,351 |
principal,
|
4.500%, due 06/01/2021
|
325,466 | |||||||
FHLMC POOL
|
450,495 |
principal,
|
4.500%, due 09/01/2020
|
477,619 | |||||||
FHLMC POOL
|
203,856 |
principal,
|
5.500%, due 11/01/2021
|
221,746 | |||||||
FHLMC POOL
|
1,360,000 |
principal,
|
4.500%, due 12/01/2018
|
1,441,096 | |||||||
FHLMC POOL
|
548,528 |
principal,
|
6.000%, due 02/01/2022
|
596,567 | |||||||
FHLMC POOL
|
1,585,545 |
principal,
|
5.500%, due 02/01/2022
|
1,724,551 | |||||||
FHLMC POOL
|
168,299 |
principal,
|
5.000%, due 09/01/2021
|
178,219 | |||||||
FHLMC POOL
|
544,154 |
principal,
|
6.500%, due 03/01/2022
|
605,974 | |||||||
FHLMC POOL
|
198,699 |
principal,
|
5.500%, due 04/01/2022
|
215,629 | |||||||
FHLMC POOL
|
78,849 |
principal,
|
6.000%, due 03/01/2022
|
86,103 | |||||||
FHLMC POOL
|
397,234 |
principal,
|
5.500%, due 05/01/2022
|
432,011 | |||||||
FHLMC POOL
|
253,824 |
principal,
|
5.500%, due 08/01/2020
|
274,666 | |||||||
FHLMC POOL
|
375,091 |
principal,
|
5.500%, due 11/01/2021
|
395,163 | |||||||
FHLMC POOL
|
590,725 |
principal,
|
6.000%, due 11/01/2022
|
644,722 | |||||||
FHLMC POOL
|
93,387 |
principal,
|
5.000%, due 12/01/2021
|
100,838 | |||||||
FHLMC POOL
|
484,302 |
principal,
|
6.500%, due 11/01/2022
|
537,023 | |||||||
FHLMC POOL
|
242,423 |
principal,
|
5.500%, due 12/01/2022
|
263,190 | |||||||
FHLMC POOL
|
387,280 |
principal,
|
4.500%, due 08/01/2020
|
410,398 | |||||||
FHLMC POOL
|
565,325 |
principal,
|
6.000%, due 03/01/2023
|
616,268 | |||||||
FHLMC POOL
|
1,571,443 |
principal,
|
5.500%, due 01/01/2024
|
1,709,322 | |||||||
FHLMC POOL
|
404,530 |
principal,
|
6.500%, due 08/01/2021
|
426,891 | |||||||
FHLMC POOL
|
5,093,153 |
principal,
|
5.500%, due 05/01/2024
|
5,527,102 | |||||||
FHLMC POOL
|
77,738 |
principal,
|
5.500%, due 12/01/2020
|
84,137 | |||||||
FHLMC POOL
|
747,662 |
principal,
|
4.500%, due 04/01/2025
|
802,081 | |||||||
FHLMC POOL
|
536,386 |
principal,
|
5.000%, due 03/01/2025
|
579,013 | |||||||
FHLMC POOL
|
1,685,721 |
principal,
|
5.500%, due 12/01/2024
|
1,829,238 | |||||||
FHLMC POOL
|
1,811,381 |
principal,
|
5.500%, due 12/01/2024
|
1,965,411 | |||||||
FHLMC POOL
|
541,912 |
principal,
|
5.500%, due 05/01/2022
|
576,325 | |||||||
FHLMC POOL
|
1,245,463 |
principal,
|
4.000%, due 06/01/2026
|
1,316,378 | |||||||
FHLMC POOL
|
461,604 |
principal,
|
6.000%, due 01/01/2024
|
486,373 | |||||||
FHLMC POOL
|
1,464,106 |
principal,
|
4.500%, due 06/01/2026
|
1,570,927 | |||||||
FHLMC POOL
|
1,021,073 |
principal,
|
3.500%, due 07/01/2021
|
1,072,544 | |||||||
FHLMC POOL
|
2,504,084 |
principal,
|
5.500%, due 07/01/2024
|
2,710,197 | |||||||
FHLMC POOL
|
2,745,418 |
principal,
|
5.000%, due 07/01/2025
|
2,964,169 | |||||||
FHLMC POOL
|
977,670 |
principal,
|
5.000%, due 07/01/2025
|
1,037,558 | |||||||
FHLMC POOL
|
2,450,204 |
principal,
|
6.000%, due 01/01/2024
|
2,578,746 | |||||||
FHLMC POOL
|
4,239,982 |
principal,
|
4.500%, due 09/01/2026
|
4,547,285 | |||||||
FHLMC POOL
|
1,251,998 |
principal,
|
4.000%, due 12/01/2026
|
1,322,205 | |||||||
FHLMC POOL
|
22,727,099 |
principal,
|
4.000%, due 07/01/2026
|
24,003,834 | |||||||
FHLMC POOL
|
2,547,115 |
principal,
|
4.500%, due 08/01/2020
|
2,699,748 | |||||||
FHLMC POOL
|
441,894 |
principal,
|
5.000%, due 09/01/2019
|
468,005 | |||||||
FHLMC POOL
|
590,943 |
principal,
|
4.500%, due 07/01/2020
|
627,805 | |||||||
FHLMC POOL
|
202,581 |
principal,
|
5.000%, due 05/01/2023
|
218,708 | |||||||
FHLMC POOL
|
705,846 |
principal,
|
4.500%, due 04/01/2024
|
756,980 | |||||||
FHLMC POOL
|
150,267 |
principal,
|
4.500%, due 11/01/2024
|
161,178 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||||
FHLMC POOL
|
$ | 193,456 |
principal,
|
5.500%, due 11/01/2023
|
$ | 211,204 | |||||
FHLMC POOL
|
176,925 |
principal,
|
6.500%, due 09/01/2037
|
189,975 | |||||||
FHLMC POOL
|
143,133 |
principal,
|
6.500%, due 10/01/2037
|
154,003 | |||||||
FHLMC POOL
|
320,739 |
principal,
|
6.500%, due 10/01/2038
|
345,041 | |||||||
FHLMC POOL
|
363,823 |
principal,
|
6.000%, due 06/01/2038
|
391,182 | |||||||
FHLMC POOL
|
996,050 |
principal,
|
6.500%, due 08/01/2038
|
1,070,401 | |||||||
FHLMC POOL
|
142,172 |
principal,
|
6.500%, due 09/01/2037
|
153,004 | |||||||
FHLMC POOL
|
69,094 |
principal,
|
6.000%, due 09/01/2021
|
75,165 | |||||||
FHLMC POOL
|
60,666 |
principal,
|
6.000%, due 11/01/2016
|
63,046 | |||||||
FHLMC POOL
|
652,673 |
principal,
|
6.000%, due 08/01/2022
|
698,602 | |||||||
FHLMC POOL
|
834,863 |
principal,
|
6.000%, due 11/01/2022
|
907,651 | |||||||
FHLMC POOL
|
878,498 |
principal,
|
4.500%, due 09/01/2024
|
942,266 | |||||||
FHLMC POOL
|
913,010 |
principal,
|
4.500%, due 12/01/2024
|
979,357 | |||||||
FHLMC POOL
|
424,530 |
principal,
|
4.500%, due 12/01/2024
|
461,609 | |||||||
FHLMC POOL
|
316,939 |
principal,
|
4.500%, due 02/01/2025
|
340,065 | |||||||
FHLMC POOL
|
678,077 |
principal,
|
4.000%, due 04/01/2025
|
715,974 | |||||||
FHLMC POOL
|
598,494 |
principal,
|
4.500%, due 07/01/2025
|
650,987 | |||||||
FHLMC POOL
|
1,374,041 |
principal,
|
3.500%, due 10/01/2025
|
1,433,316 | |||||||
FHLMC POOL
|
771,506 |
principal,
|
3.500%, due 02/01/2021
|
810,340 | |||||||
FHLMC POOL
|
714,633 |
principal,
|
3.500%, due 02/01/2021
|
750,636 | |||||||
FHLMC POOL
|
173,447 |
principal,
|
4.500%, due 08/01/2026
|
188,613 | |||||||
FHLMC POOL
|
2,737,531 |
principal,
|
4.500%, due 09/01/2020
|
2,901,914 | |||||||
FHLMC MULTICLASS CTF
|
3,465,292 |
principal,
|
VAR RT, due 12/15/2043
|
3,821,704 | |||||||
FHLMC MULTICLASS MTG
|
934,392 |
principal,
|
4.500%, due 08/15/2018
|
990,541 | |||||||
FHLMC MULTICLASS MTG
|
748,859 |
principal,
|
7.500%, due 01/20/2030
|
855,619 | |||||||
FHLMC MULTICLASS MTG
|
17,727 |
principal,
|
6.000%, due 03/15/2017
|
18,742 | |||||||
FHLMC MULTICLASS MTG
|
397,955 |
principal,
|
6.500%, due 06/15/2032
|
444,164 | |||||||
FHLMC MULTICLASS MTG
|
1,481,674 |
principal,
|
5.500%, due 07/15/2032
|
1,541,562 | |||||||
FHLMC MULTICLASS MTG
|
225,174 |
principal,
|
5.000%, due 12/15/2017
|
238,735 | |||||||
FHLMC MULTICLASS MTG
|
203,481 |
principal,
|
5.000%, due 01/15/2018
|
216,131 | |||||||
FHLMC MULTICLASS MTG
|
116,708 |
principal,
|
5.000%, due 12/15/2022
|
120,561 | |||||||
FHLMC MULTICLASS MTG
|
6,077,486 |
principal,
|
5.000%, due 03/15/2018
|
6,462,847 | |||||||
FHLMC MULTICLASS MTG
|
1,070,777 |
principal,
|
5.500%, due 03/15/2033
|
1,170,404 | |||||||
FHLMC MULTICLASS MTG
|
7,128 |
principal,
|
3.750%, due 04/15/2033
|
7,162 | |||||||
FHLMC MULTICLASS MTG
|
431,186 |
principal,
|
5.000%, due 06/15/2033
|
466,879 | |||||||
FHLMC MULTICLASS MTG
|
318,394 |
principal,
|
4.500%, due 06/15/2018
|
337,337 | |||||||
FHLMC MULTICLASS MTG
|
210,485 |
principal,
|
4.500%, due 06/15/2018
|
222,473 | |||||||
FHLMC MULTICLASS MTG
|
940,000 |
principal,
|
5.000%, due 07/15/2033
|
1,022,313 | |||||||
FHLMC MULTICLASS MTG
|
645,320 |
principal,
|
5.000%, due 09/15/2032
|
678,385 | |||||||
FHLMC MULTICLASS MTG
|
183,367 |
principal,
|
VAR RT, due 03/15/2017
|
183,555 | |||||||
FHLMC MULTICLASS MTG
|
3,944,103 |
principal,
|
5.000%, due 08/15/2018
|
4,198,084 | |||||||
FHLMC MULTICLASS MTG
|
301,522 |
principal,
|
3.500%, due 10/15/2018
|
314,813 | |||||||
FHLMC MULTICLASS MTG
|
190,746 |
principal,
|
3.500%, due 11/15/2018
|
199,122 | |||||||
FHLMC MULTICLASS MTG
|
61,101 |
principal,
|
5.000%, due 12/15/2023
|
65,987 | |||||||
FHLMC MULTICLASS MTG
|
361,000 |
principal,
|
5.000%, due 02/15/2034
|
389,461 | |||||||
FHLMC MULTICLASS MTG
|
377,000 |
principal,
|
5.000%, due 03/15/2034
|
410,812 | |||||||
FHLMC MULTICLASS MTG
|
2,092,158 |
principal,
|
4.000%, due 04/15/2019
|
2,209,773 | |||||||
FHLMC MULTICLASS MTG
|
722,668 |
principal,
|
4.000%, due 04/15/2019
|
763,305 | |||||||
FHLMC MULTICLASS MTG
|
453,889 |
principal,
|
4.500%, due 05/15/2019
|
477,365 | |||||||
FHLMC MULTICLASS MTG
|
143,527 |
principal,
|
VAR RT, due 04/15/2033
|
143,560 | |||||||
FHLMC MULTICLASS MTG
|
613,186 |
principal,
|
5.000%, due 08/15/2019
|
657,211 | |||||||
FHLMC MULTICLASS MTG
|
37,438 |
principal,
|
5.500%, due 07/15/2015
|
37,825 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
FHLMC MULTICLASS MTG
|
$ | 708,715 |
principal,
|
4.500%, due 09/15/2024
|
$ | 752,289 | |||||
FHLMC MULTICLASS MTG
|
884,008 |
principal,
|
4.500%, due 08/15/2034
|
942,990 | |||||||
FHLMC MULTICLASS MTG
|
96,771 |
principal,
|
4.500%, due 04/15/2019
|
98,432 | |||||||
FHLMC MULTICLASS MTG
|
66,656 |
principal,
|
4.500%, due 02/15/2019
|
67,047 | |||||||
FHLMC MULTICLASS MTG
|
40,733 |
principal,
|
5.000%, due 11/15/2024
|
44,171 | |||||||
FHLMC MULTICLASS MTG
|
65,678 |
principal,
|
5.000%, due 04/15/2019
|
66,011 | |||||||
FHLMC MULTICLASS MTG
|
720,815 |
principal,
|
5.000%, due 02/15/2025
|
786,283 | |||||||
FHLMC MULTICLASS MTG
|
1,683,083 |
principal,
|
4.500%, due 07/15/2020
|
1,794,717 | |||||||
FHLMC MULTICLASS MTG
|
2,415,840 |
principal,
|
VAR RT, due 09/15/2043
|
2,415,301 | |||||||
FHLMC MULTICLASS MTG
|
3,251,249 |
principal,
|
VAR RT, due 11/15/2043
|
3,241,820 | |||||||
FHLMC MULTICLASS MTG
|
453,679 |
principal,
|
5.000%, due 08/15/2017
|
474,049 | |||||||
FHLMC MULTICLASS MTG
|
358,657 |
principal,
|
4.500%, due 03/15/2022
|
382,387 | |||||||
FHLMC MULTICLASS MTG
|
2,902,675 |
principal,
|
4.500%, due 03/15/2022
|
3,113,784 | |||||||
FHLMC MULTICLASS MTG
|
204,295 |
principal,
|
4.500%, due 10/15/2017
|
208,962 | |||||||
FHLMC MULTICLASS MTG
|
1,490,898 |
principal,
|
6.000%, due 05/15/2039
|
1,648,481 | |||||||
FHLMC MULTICLASS MTG
|
1,642,023 |
principal,
|
5.500%, due 12/15/2039
|
1,818,108 | |||||||
FHLMC MULTICLASS MTG
|
1,991,858 |
principal,
|
3.000%, due 03/15/2025
|
2,064,859 | |||||||
FHLMC MULTICLASS MTG
|
812,360 |
principal,
|
5.000%, due 09/15/2040
|
873,368 | |||||||
FHLMC MULTICLASS MTG
|
559,903 |
principal,
|
3.000%, due 10/15/2023
|
578,746 | |||||||
FHLMC MULTICLASS MTG
|
764,213 |
principal,
|
3.500%, due 12/15/2023
|
787,648 | |||||||
FHLMC MULTICLASS MTG
|
357,886 |
principal,
|
5.000%, due 11/15/2036
|
376,474 | |||||||
FHLMC MULTICLASS MTG
|
1,128,146 |
principal,
|
5.000%, due 01/15/2042
|
1,228,124 | |||||||
FHLMC MULTICLASS MTG
|
884,493 |
principal,
|
5.500%, due 06/15/2037
|
966,986 | |||||||
FHLMC MULTICLASS MTG
|
4,140,966 |
principal,
|
VAR RT, due 08/15/2043
|
4,117,263 | |||||||
FHLMC MULTICLASS MTG
|
362,581 |
principal,
|
VAR RT, due 09/25/2043
|
411,345 | |||||||
FHLMC MULTICLASS MTG
|
645,970 |
principal,
|
7.000%, due 02/25/2043
|
739,054 | |||||||
FHLMC MULTICLASS MTG
|
330,000 |
principal,
|
4.879%, due 05/19/2017
|
360,722 | |||||||
FHLMC MULTICLASS MTG
|
9,950,886 |
principal,
|
VAR RT, due 08/25/2022
|
860,085 | |||||||
FNMA POOL
|
403,249 |
principal,
|
6.000%, due 11/01/2023
|
452,639 | |||||||
FNMA POOL
|
892,466 |
principal,
|
5.500%, due 01/01/2023
|
980,407 | |||||||
FNMA POOL
|
347,470 |
principal,
|
5.500%, due 03/01/2023
|
381,716 | |||||||
FNMA POOL
|
762,873 |
principal,
|
5.500%, due 04/01/2033
|
840,154 | |||||||
FNMA POOL
|
2,573,162 |
principal,
|
5.500%, due 06/01/2033
|
2,836,014 | |||||||
FNMA POOL
|
1,343,077 |
principal,
|
5.000%, due 07/01/2023
|
1,457,063 | |||||||
FNMA POOL
|
134,085 |
principal,
|
5.000%, due 09/01/2023
|
145,594 | |||||||
FNMA POOL
|
269,539 |
principal,
|
5.500%, due 10/01/2023
|
297,224 | |||||||
FNMA POOL
|
162,707 |
principal,
|
5.000%, due 11/01/2023
|
176,506 | |||||||
FNMA POOL
|
189,658 |
principal,
|
5.500%, due 11/01/2023
|
208,304 | |||||||
FNMA POOL
|
61,843 |
principal,
|
5.000%, due 12/01/2023
|
67,090 | |||||||
FNMA POOL
|
225,831 |
principal,
|
5.500%, due 10/01/2024
|
248,135 | |||||||
FNMA POOL
|
423,890 |
principal,
|
4.500%, due 01/01/2020
|
451,123 | |||||||
FNMA POOL
|
364,238 |
principal,
|
5.500%, due 01/01/2025
|
399,999 | |||||||
FNMA POOL
|
1,033,994 |
principal,
|
5.000%, due 01/01/2025
|
1,122,055 | |||||||
FNMA POOL
|
287,251 |
principal,
|
4.500%, due 04/01/2025
|
304,195 | |||||||
FNMA POOL
|
1,972,696 |
principal,
|
5.000%, due 06/01/2020
|
2,122,190 | |||||||
FNMA POOL
|
618,385 |
principal,
|
5.000%, due 09/01/2020
|
664,963 | |||||||
FNMA POOL
|
28,180 |
principal,
|
5.000%, due 12/01/2025
|
30,568 | |||||||
FNMA POOL
|
106,588 |
principal,
|
6.000%, due 07/01/2016
|
111,505 | |||||||
FNMA POOL
|
385,588 |
principal,
|
6.500%, due 02/01/2027
|
428,558 | |||||||
FNMA POOL
|
301,430 |
principal,
|
6.500%, due 03/01/2027
|
334,926 | |||||||
FNMA POOL
|
318,478 |
principal,
|
6.000%, due 10/01/2027
|
354,102 | |||||||
FNMA POOL
|
82,789 |
principal,
|
6.500%, due 10/01/2037
|
89,488 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
FNMA POOL
|
$ | 314,680 |
principal,
|
7.000%, due 10/01/2037
|
$ | 355,500 | |||||
FNMA POOL
|
1,107,535 |
principal,
|
6.000%, due 12/01/2027
|
1,233,296 | |||||||
FNMA POOL
|
178,666 |
principal,
|
6.000%, due 07/01/2028
|
199,125 | |||||||
FNMA POOL
|
272,623 |
principal,
|
6.000%, due 10/01/2028
|
304,594 | |||||||
FNMA POOL
|
970,458 |
principal,
|
5.000%, due 01/01/2019
|
1,038,955 | |||||||
FNMA POOL
|
253,382 |
principal,
|
4.500%, due 01/01/2020
|
269,988 | |||||||
FNMA POOL
|
189,328 |
principal,
|
3.320%, due 01/01/2018
|
197,174 | |||||||
FNMA POOL
|
259,618 |
principal,
|
5.500%, due 12/01/2030
|
286,295 | |||||||
FNMA POOL
|
378,418 |
principal,
|
7.000%, due 04/01/2032
|
434,919 | |||||||
FNMA POOL
|
727,340 |
principal,
|
6.500%, due 08/01/2032
|
808,778 | |||||||
FNMA POOL
|
129,986 |
principal,
|
6.000%, due 11/01/2017
|
137,335 | |||||||
FNMA POOL
|
248,749 |
principal,
|
6.000%, due 03/01/2018
|
263,407 | |||||||
FNMA POOL
|
2,018,966 |
principal,
|
5.500%, due 05/01/2033
|
2,225,001 | |||||||
FNMA POOL
|
101,934 |
principal,
|
5.500%, due 05/01/2033
|
112,295 | |||||||
FNMA POOL
|
5,359,325 |
principal,
|
5.500%, due 06/01/2033
|
5,938,020 | |||||||
FNMA POOL
|
617,591 |
principal,
|
5.500%, due 07/01/2033
|
680,846 | |||||||
FNMA POOL
|
651,590 |
principal,
|
7.000%, due 08/01/2032
|
740,218 | |||||||
FNMA POOL
|
811,431 |
principal,
|
VAR RT, due 05/01/2033
|
864,056 | |||||||
FNMA POOL
|
1,368,568 |
principal,
|
5.000%, due 07/01/2018
|
1,409,036 | |||||||
FNMA POOL
|
2,393,926 |
principal,
|
4.500%, due 11/01/2018
|
2,548,033 | |||||||
FNMA POOL
|
217,247 |
principal,
|
6.000%, due 05/01/2018
|
228,129 | |||||||
FNMA POOL
|
157,389 |
principal,
|
6.500%, due 09/01/2017
|
167,116 | |||||||
FNMA POOL
|
171,782 |
principal,
|
6.500%, due 04/01/2018
|
180,279 | |||||||
FNMA POOL
|
2,844,307 |
principal,
|
6.000%, due 02/01/2034
|
3,191,486 | |||||||
FNMA POOL
|
232,335 |
principal,
|
7.000%, due 09/01/2028
|
243,368 | |||||||
FNMA POOL
|
110,020 |
principal,
|
6.000%, due 12/01/2018
|
115,657 | |||||||
FNMA POOL
|
2,153,009 |
principal,
|
5.000%, due 03/01/2034
|
2,343,852 | |||||||
FNMA POOL
|
1,836,464 |
principal,
|
6.000%, due 03/01/2034
|
2,060,630 | |||||||
FNMA POOL
|
1,656,844 |
principal,
|
4.500%, due 04/01/2019
|
1,763,634 | |||||||
FNMA POOL
|
1,092,510 |
principal,
|
5.500%, due 04/01/2034
|
1,209,716 | |||||||
FNMA POOL
|
199,191 |
principal,
|
6.000%, due 02/01/2019
|
209,392 | |||||||
FNMA POOL
|
376,086 |
principal,
|
5.500%, due 11/01/2034
|
413,875 | |||||||
FNMA POOL
|
191,101 |
principal,
|
6.000%, due 09/01/2019
|
203,323 | |||||||
FNMA POOL
|
2,222,583 |
principal,
|
4.500%, due 08/01/2033
|
2,365,470 | |||||||
FNMA POOL
|
131,713 |
principal,
|
4.000%, due 10/01/2018
|
139,623 | |||||||
FNMA POOL
|
295,223 |
principal,
|
6.500%, due 12/01/2032
|
331,746 | |||||||
FNMA POOL
|
204,676 |
principal,
|
6.000%, due 09/01/2019
|
218,280 | |||||||
FNMA POOL
|
2,028,072 |
principal,
|
6.000%, due 04/01/2035
|
2,275,868 | |||||||
FNMA POOL
|
993,609 |
principal,
|
4.500%, due 07/01/2020
|
1,057,916 | |||||||
FNMA POOL
|
1,289,475 |
principal,
|
5.500%, due 05/01/2035
|
1,420,638 | |||||||
FNMA POOL
|
183,218 |
principal,
|
4.500%, due 11/01/2019
|
195,054 | |||||||
FNMA POOL
|
446,783 |
principal,
|
5.500%, due 02/01/2035
|
492,440 | |||||||
FNMA POOL
|
480,093 |
principal,
|
4.500%, due 07/01/2020
|
511,107 | |||||||
FNMA POOL
|
252,507 |
principal,
|
4.000%, due 09/01/2020
|
267,421 | |||||||
FNMA POOL
|
248,755 |
principal,
|
5.500%, due 11/01/2034
|
274,161 | |||||||
FNMA POOL
|
209,307 |
principal,
|
4.500%, due 09/01/2020
|
222,857 | |||||||
FNMA POOL
|
117,081 |
principal,
|
5.500%, due 03/01/2021
|
127,815 | |||||||
FNMA POOL
|
254,090 |
principal,
|
4.000%, due 12/01/2020
|
269,210 | |||||||
FNMA POOL
|
270,310 |
principal,
|
6.500%, due 04/01/2021
|
291,119 | |||||||
FNMA POOL
|
744,936 |
principal,
|
5.160%, due 01/01/2018
|
803,114 | |||||||
FNMA POOL
|
900,859 |
principal,
|
5.500%, due 09/01/2035
|
991,541 | |||||||
FNMA POOL
|
683,851 |
principal,
|
5.500%, due 06/01/2020
|
730,946 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
FNMA POOL
|
$ | 387,762 |
principal,
|
4.500%, due 04/01/2019
|
$ | 412,723 | |||||
FNMA POOL
|
287,694 |
principal,
|
5.000%, due 09/01/2019
|
308,061 | |||||||
FNMA POOL
|
463,607 |
principal,
|
VAR RT, due 01/01/2035
|
494,175 | |||||||
FNMA POOL
|
538,907 |
principal,
|
VAR RT, due 07/01/2035
|
574,566 | |||||||
FNMA POOL
|
416,908 |
principal,
|
4.500%, due 04/01/2021
|
444,565 | |||||||
FNMA POOL
|
94,844 |
principal,
|
5.000%, due 05/01/2021
|
102,164 | |||||||
FNMA POOL
|
685,630 |
principal,
|
6.000%, due 11/01/2021
|
746,298 | |||||||
FNMA POOL
|
444,099 |
principal,
|
6.500%, due 10/01/2026
|
506,633 | |||||||
FNMA POOL
|
4,407,861 |
principal,
|
4.000%, due 03/01/2020
|
4,668,027 | |||||||
FNMA POOL
|
106,218 |
principal,
|
4.000%, due 03/01/2022
|
112,508 | |||||||
FNMA POOL
|
338,915 |
principal,
|
7.000%, due 04/01/2037
|
378,507 | |||||||
FNMA POOL
|
3,924,908 |
principal,
|
7.000%, due 03/01/2037
|
4,441,113 | |||||||
FNMA POOL
|
159,452 |
principal,
|
7.000%, due 03/01/2037
|
177,958 | |||||||
FNMA POOL
|
439,451 |
principal,
|
5.505%, due 04/01/2017
|
479,175 | |||||||
FNMA POOL
|
635,498 |
principal,
|
6.500%, due 04/01/2022
|
701,388 | |||||||
FNMA POOL
|
365,720 |
principal,
|
5.000%, due 12/01/2021
|
391,497 | |||||||
FNMA POOL
|
393,920 |
principal,
|
5.500%, due 08/01/2035
|
435,449 | |||||||
FNMA POOL
|
936,441 |
principal,
|
5.000%, due 10/01/2021
|
1,007,353 | |||||||
FNMA POOL
|
887,434 |
principal,
|
6.000%, due 08/01/2022
|
967,232 | |||||||
FNMA POOL
|
250,592 |
principal,
|
6.000%, due 04/01/2035
|
281,238 | |||||||
FNMA POOL
|
1,032,914 |
principal,
|
6.500%, due 08/01/2037
|
1,171,361 | |||||||
FNMA POOL
|
498,410 |
principal,
|
6.000%, due 10/01/2037
|
538,282 | |||||||
FNMA POOL
|
437,303 |
principal,
|
6.500%, due 10/01/2022
|
475,894 | |||||||
FNMA POOL
|
364,251 |
principal,
|
6.000%, due 03/01/2036
|
409,213 | |||||||
FNMA POOL
|
898,133 |
principal,
|
5.500%, due 09/01/2036
|
988,682 | |||||||
FNMA POOL
|
210,631 |
principal,
|
6.000%, due 02/01/2028
|
234,546 | |||||||
FNMA POOL
|
252,580 |
principal,
|
5.000%, due 03/01/2023
|
271,613 | |||||||
FNMA POOL
|
293,966 |
principal,
|
4.500%, due 05/01/2022
|
313,310 | |||||||
FNMA POOL
|
457,615 |
principal,
|
5.500%, due 12/01/2034
|
503,873 | |||||||
FNMA POOL
|
245,608 |
principal,
|
5.500%, due 12/01/2021
|
268,279 | |||||||
FNMA POOL
|
185,717 |
principal,
|
6.500%, due 07/01/2038
|
206,842 | |||||||
FNMA POOL
|
240,649 |
principal,
|
5.500%, due 11/01/2033
|
265,296 | |||||||
FNMA POOL
|
264,031 |
principal,
|
4.500%, due 10/01/2020
|
281,431 | |||||||
FNMA POOL
|
567,246 |
principal,
|
5.500%, due 08/01/2037
|
624,728 | |||||||
FNMA POOL
|
351,755 |
principal,
|
6.500%, due 10/01/2038
|
390,783 | |||||||
FNMA POOL
|
411,793 |
principal,
|
4.000%, due 03/01/2022
|
436,124 | |||||||
FNMA POOL
|
246,342 |
principal,
|
4.500%, due 07/01/2025
|
262,184 | |||||||
FNMA POOL
|
569,486 |
principal,
|
6.000%, due 06/01/2040
|
629,991 | |||||||
FNMA POOL
|
395,745 |
principal,
|
5.000%, due 12/01/2033
|
430,715 | |||||||
FNMA POOL
|
397,611 |
principal,
|
5.000%, due 08/01/2021
|
428,300 | |||||||
FNMA POOL
|
30,305 |
principal,
|
6.000%, due 09/01/2021
|
32,757 | |||||||
FNMA POOL
|
67,149 |
principal,
|
6.000%, due 08/01/2022
|
72,409 | |||||||
FNMA POOL
|
175,833 |
principal,
|
4.500%, due 08/01/2024
|
191,210 | |||||||
FNMA POOL
|
1,521,018 |
principal,
|
5.500%, due 07/01/2021
|
1,661,802 | |||||||
FNMA POOL
|
871,088 |
principal,
|
6.000%, due 09/01/2021
|
949,851 | |||||||
FNMA POOL
|
924,286 |
principal,
|
6.000%, due 12/01/2038
|
1,030,334 | |||||||
FNMA POOL
|
2,095,547 |
principal,
|
6.500%, due 06/01/2038
|
2,429,798 | |||||||
FNMA POOL
|
853,488 |
principal,
|
6.000%, due 09/01/2023
|
911,106 | |||||||
FNMA POOL
|
1,104,586 |
principal,
|
6.000%, due 08/01/2038
|
1,225,864 | |||||||
FNMA POOL
|
687,701 |
principal,
|
4.500%, due 12/01/2020
|
732,868 | |||||||
FNMA POOL
|
2,057,213 |
principal,
|
5.000%, due 09/01/2022
|
2,191,518 | |||||||
FNMA POOL
|
1,610,420 |
principal,
|
4.500%, due 03/01/2034
|
1,712,386 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
FNMA POOL
|
$ | 354,381 |
principal,
|
5.000%, due 03/01/2023
|
$ | 381,188 | |||||
FNMA POOL
|
372,950 |
principal,
|
5.500%, due 02/01/2023
|
407,414 | |||||||
FNMA POOL
|
3,747,637 |
principal,
|
4.500%, due 12/01/2020
|
3,994,780 | |||||||
FNMA POOL
|
779,779 |
principal,
|
6.000%, due 08/01/2037
|
874,953 | |||||||
FNMA POOL
|
310,094 |
principal,
|
5.000%, due 12/01/2021
|
334,025 | |||||||
FNMA POOL
|
2,847,412 |
principal,
|
5.500%, due 12/01/2035
|
3,132,621 | |||||||
FNMA POOL
|
686,341 |
principal,
|
5.500%, due 11/01/2023
|
749,373 | |||||||
FNMA POOL
|
441,730 |
principal,
|
6.500%, due 02/01/2038
|
476,875 | |||||||
FNMA POOL
|
182,469 |
principal,
|
4.500%, due 06/01/2025
|
198,560 | |||||||
FNMA POOL
|
265,939 |
principal,
|
4.500%, due 11/01/2030
|
285,840 | |||||||
FNMA POOL
|
1,000,885 |
principal,
|
4.000%, due 11/01/2030
|
1,046,328 | |||||||
FNMA POOL
|
5,081,455 |
principal,
|
5.500%, due 09/01/2039
|
5,880,042 | |||||||
FNMA POOL
|
671,020 |
principal,
|
4.500%, due 10/01/2024
|
730,070 | |||||||
FNMA POOL
|
289,128 |
principal,
|
4.500%, due 12/01/2024
|
314,566 | |||||||
FNMA POOL
|
301,013 |
principal,
|
5.000%, due 05/01/2023
|
324,693 | |||||||
FNMA POOL
|
937,690 |
principal,
|
6.500%, due 10/01/2038
|
1,041,463 | |||||||
FNMA POOL
|
1,051,808 |
principal,
|
6.000%, due 11/01/2034
|
1,180,450 | |||||||
FNMA POOL
|
1,586,096 |
principal,
|
6.000%, due 08/01/2037
|
1,779,986 | |||||||
FNMA POOL
|
1,778,588 |
principal,
|
5.500%, due 04/01/2037
|
1,959,360 | |||||||
FNMA POOL
|
1,117,153 |
principal,
|
5.500%, due 04/01/2035
|
1,231,906 | |||||||
FNMA POOL
|
1,108,444 |
principal,
|
7.000%, due 12/01/2038
|
1,239,002 | |||||||
FNMA POOL
|
1,589,262 |
principal,
|
6.500%, due 08/01/2039
|
1,787,544 | |||||||
FNMA POOL
|
919,881 |
principal,
|
4.500%, due 10/01/2035
|
976,928 | |||||||
FNMA POOL
|
1,574,147 |
principal,
|
5.000%, due 02/01/2023
|
1,712,187 | |||||||
FNMA POOL
|
558,597 |
principal,
|
5.000%, due 07/01/2024
|
601,750 | |||||||
FNMA POOL
|
2,248,484 |
principal,
|
4.500%, due 03/01/2021
|
2,396,492 | |||||||
FNMA POOL
|
1,027,556 |
principal,
|
5.000%, due 06/01/2023
|
1,105,241 | |||||||
FNMA POOL
|
1,175,453 |
principal,
|
4.500%, due 05/01/2030
|
1,252,785 | |||||||
FNMA POOL
|
3,103,772 |
principal,
|
4.000%, due 05/01/2025
|
3,289,358 | |||||||
FNMA POOL
|
212,837 |
principal,
|
5.500%, due 09/01/2023
|
232,605 | |||||||
FNMA POOL
|
2,446,058 |
principal,
|
5.500%, due 10/01/2036
|
2,695,095 | |||||||
FNMA POOL
|
1,217,880 |
principal,
|
5.500%, due 08/01/2021
|
1,316,388 | |||||||
FNMA POOL
|
3,862,980 |
principal,
|
5.500%, due 05/01/2025
|
4,129,491 | |||||||
FNMA POOL
|
718,730 |
principal,
|
5.500%, due 03/01/2024
|
787,929 | |||||||
FNMA POOL
|
683,081 |
principal,
|
6.000%, due 03/01/2040
|
756,118 | |||||||
FNMA POOL
|
4,635,152 |
principal,
|
4.500%, due 05/01/2022
|
4,932,818 | |||||||
FNMA POOL
|
1,387,312 |
principal,
|
4.000%, due 12/01/2040
|
1,427,732 | |||||||
FNMA POOL
|
690,645 |
principal,
|
3.500%, due 01/01/2041
|
686,836 | |||||||
FNMA POOL
|
226,634 |
principal,
|
4.500%, due 02/01/2026
|
245,834 | |||||||
FNMA POOL
|
596,517 |
principal,
|
4.000%, due 05/01/2026
|
632,272 | |||||||
FNMA POOL
|
4,135,414 |
principal,
|
VAR RT, due 07/01/2041
|
4,368,525 | |||||||
FNMA POOL
|
1,128,415 |
principal,
|
5.500%, due 08/01/2041
|
1,264,517 | |||||||
FNMA POOL
|
3,630,658 |
principal,
|
4.000%, due 10/01/2026
|
3,849,477 | |||||||
FNMA POOL
|
8,268,375 |
principal,
|
4.500%, due 12/01/2041
|
8,786,325 | |||||||
FNMA POOL
|
2,154,160 |
principal,
|
5.500%, due 01/01/2025
|
2,359,292 | |||||||
FNMA POOL
|
4,296,501 |
principal,
|
6.000%, due 05/01/2024
|
4,701,750 | |||||||
FNMA POOL
|
11,534,656 |
principal,
|
5.500%, due 01/01/2019
|
12,265,879 | |||||||
FNMA POOL
|
2,818,241 |
principal,
|
5.000%, due 09/01/2025
|
3,035,403 | |||||||
FNMA POOL
|
1,137,832 |
principal,
|
VAR RT, due 04/01/2042
|
1,175,271 | |||||||
FNMA POOL
|
1,687,220 |
principal,
|
VAR RT, due 06/01/2039
|
1,775,814 | |||||||
FNMA POOL
|
8,952,051 |
principal,
|
5.000%, due 06/01/2026
|
9,657,186 | |||||||
FNMA POOL
|
2,900,645 |
principal,
|
5.000%, due 02/01/2025
|
3,148,008 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
FNMA POOL
|
$ | 4,591,579 |
principal,
|
5.000%, due 04/01/2025
|
$ | 4,945,457 | |||||
FNMA POOL
|
3,591,787 |
principal,
|
6.000%, due 07/01/2036
|
4,131,889 | |||||||
FNMA POOL
|
1,630,269 |
principal,
|
5.500%, due 11/01/2033
|
1,862,259 | |||||||
FNMA POOL
|
3,596,450 |
principal,
|
5.500%, due 08/01/2040
|
4,054,253 | |||||||
FNMA POOL
|
4,242,121 |
principal,
|
6.000%, due 07/01/2039
|
4,760,116 | |||||||
FNMA POOL
|
8,185,347 |
principal,
|
4.500%, due 01/01/2031
|
8,723,604 | |||||||
FNMA POOL
|
500,492 |
principal,
|
VAR RT, due 06/01/2041
|
521,680 | |||||||
FNMA POOL
|
918,636 |
principal,
|
4.000%, due 08/01/2026
|
982,898 | |||||||
FNMA POOL
|
1,197,685 |
principal,
|
VAR RT, due 11/01/2043
|
1,234,755 | |||||||
FNMA POOL
|
551,351 |
principal,
|
4.500%, due 08/01/2029
|
587,502 | |||||||
FNMA POOL
|
1,959,926 |
principal,
|
4.000%, due 08/01/2020
|
2,080,214 | |||||||
FNMA POOL
|
2,222,635 |
principal,
|
3.500%, due 08/01/2020
|
2,335,687 | |||||||
FNMA POOL
|
1,218,260 |
principal,
|
3.500%, due 09/01/2020
|
1,280,273 | |||||||
FNMA POOL
|
630,364 |
principal,
|
3.500%, due 10/01/2020
|
662,542 | |||||||
FNMA POOL
|
3,687,857 |
principal,
|
3.500%, due 01/01/2021
|
3,876,320 | |||||||
FNMA POOL
|
3,156,639 |
principal,
|
3.500%, due 07/01/2021
|
3,317,574 | |||||||
FNMA POOL
|
1,975,473 |
principal,
|
3.500%, due 08/01/2021
|
2,076,297 | |||||||
FNMA POOL
|
890,849 |
principal,
|
3.500%, due 10/01/2021
|
936,364 | |||||||
FNMA POOL
|
5,075,677 |
principal,
|
3.500%, due 01/01/2032
|
5,168,330 | |||||||
FNMA POOL
|
3,542,855 |
principal,
|
3.500%, due 06/01/2022
|
3,724,518 | |||||||
FNMA GTD REMIC
|
468,115 |
principal,
|
6.000%, due 11/25/2031
|
508,457 | |||||||
FNMA GTD REMIC
|
449,306 |
principal,
|
7.500%, due 10/25/2040
|
523,716 | |||||||
FNMA GTD REMIC
|
99,206 |
principal,
|
7.000%, due 12/25/2041
|
115,313 | |||||||
FNMA GTD REMIC
|
19,143 |
principal,
|
7.500%, due 07/25/2041
|
22,664 | |||||||
FNMA GTD REMIC
|
373,758 |
principal,
|
VAR RT, due 02/19/2030
|
426,532 | |||||||
FNMA GTD REMIC
|
72,583 |
principal,
|
5.500%, due 03/25/2017
|
75,628 | |||||||
FNMA GTD REMIC
|
200,375 |
principal,
|
6.000%, due 03/25/2017
|
211,599 | |||||||
FNMA GTD REMIC
|
285,225 |
principal,
|
5.500%, due 11/25/2017
|
303,599 | |||||||
FNMA GTD REMIC
|
70,712 |
principal,
|
5.000%, due 11/25/2017
|
74,881 | |||||||
FNMA GTD REMIC
|
1,806,776 |
principal,
|
5.000%, due 12/25/2017
|
1,915,515 | |||||||
FNMA GTD REMIC
|
545,925 |
principal,
|
6.500%, due 06/25/2042
|
627,685 | |||||||
FNMA GTD REMIC
|
285,641 |
principal,
|
4.500%, due 01/25/2018
|
300,409 | |||||||
FNMA GTD REMIC
|
306,643 |
principal,
|
5.000%, due 01/25/2018
|
325,588 | |||||||
FNMA GTD REMIC
|
1,057,406 |
principal,
|
7.500%, due 05/25/2042
|
1,254,402 | |||||||
FNMA GTD REMIC
|
553,505 |
principal,
|
7.000%, due 07/25/2042
|
636,758 | |||||||
FNMA GTD REMIC
|
115,545 |
principal,
|
6.500%, due 07/25/2042
|
131,816 | |||||||
FNMA GTD REMIC
|
327,966 |
principal,
|
5.000%, due 03/25/2018
|
348,349 | |||||||
FNMA GTD REMIC
|
922,216 |
principal,
|
5.000%, due 05/25/2018
|
982,246 | |||||||
FNMA GTD REMIC
|
238,996 |
principal,
|
5.000%, due 05/25/2018
|
254,425 | |||||||
FNMA GTD REMIC
|
85,051 |
principal,
|
3.500%, due 08/25/2023
|
88,944 | |||||||
FNMA GTD REMIC
|
97,752 |
principal,
|
4.500%, due 04/25/2018
|
98,966 | |||||||
FNMA GTD REMIC
|
282,848 |
principal,
|
4.500%, due 09/25/2018
|
299,385 | |||||||
FNMA GTD REMIC
|
340,841 |
principal,
|
VAR RT, due 10/25/2042
|
386,965 | |||||||
FNMA GTD REMIC
|
282,051 |
principal,
|
5.000%, due 07/25/2024
|
310,379 | |||||||
FNMA GTD REMIC
|
858,629 |
principal,
|
4.500%, due 10/25/2019
|
907,009 | |||||||
FNMA GTD REMIC
|
331,773 |
principal,
|
5.000%, due 10/25/2024
|
362,498 | |||||||
FNMA GTD REMIC
|
2,542,628 |
principal,
|
6.500%, due 05/25/2044
|
2,906,831 | |||||||
FNMA GTD REMIC
|
38,687 |
principal,
|
7.000%, due 02/25/2044
|
44,839 | |||||||
FNMA GTD REMIC
|
244,908 |
principal,
|
7.500%, due 03/25/2044
|
286,506 | |||||||
FNMA GTD REMIC
|
1,055,075 |
principal,
|
6.050%, due 02/25/2044
|
1,194,219 | |||||||
FNMA GTD REMIC
|
2,382,955 |
principal,
|
4.500%, due 03/25/2020
|
2,530,660 | |||||||
FNMA GTD REMIC
|
425,035 |
principal,
|
VAR RT, due 03/25/2035
|
425,715 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued)
|
|||||||||||
FNMA GTD REMIC
|
$ | 196,300 |
principal,
|
5.500%, due 01/25/2035
|
$ | 210,934 | |||||
FNMA GTD REMIC
|
77,936 |
principal,
|
5.000%, due 07/25/2019
|
78,206 | |||||||
FNMA GTD REMIC
|
973,504 |
principal,
|
7.500%, due 10/25/2044
|
1,155,774 | |||||||
FNMA GTD REMIC
|
561,818 |
principal,
|
7.000%, due 08/25/2035
|
655,615 | |||||||
FNMA GTD REMIC
|
80,967 |
principal,
|
5.500%, due 07/25/2033
|
82,050 | |||||||
FNMA GTD REMIC
|
100,000 |
principal,
|
VAR RT, due 10/27/2037
|
99,232 | |||||||
FNMA GTD REMIC
|
269,427 |
principal,
|
5.500%, due 06/25/2037
|
290,665 | |||||||
FNMA GTD REMIC
|
3,111,228 |
principal,
|
5.500%, due 07/25/2037
|
3,341,549 | |||||||
FNMA GTD REMIC
|
2,542,687 |
principal,
|
4.250%, due 06/25/2022
|
2,606,013 | |||||||
FNMA GTD REMIC
|
78,146 |
principal,
|
4.200%, due 07/25/2022
|
80,239 | |||||||
FNMA GTD REMIC
|
1,600,000 |
principal,
|
5.000%, due 04/25/2023
|
1,707,203 | |||||||
FNMA GTD REMIC
|
250,436 |
principal,
|
5.500%, due 04/25/2038
|
272,216 | |||||||
FNMA GTD REMIC
|
112,097 |
principal,
|
4.500%, due 11/25/2022
|
115,430 | |||||||
FNMA GTD REMIC
|
1,931,311 |
principal,
|
4.500%, due 07/25/2023
|
2,051,168 | |||||||
FNMA GTD REMIC
|
118,465 |
principal,
|
5.000%, due 05/25/2032
|
121,270 | |||||||
FNMA GTD REMIC
|
472,792 |
principal,
|
7.000%, due 06/25/2035
|
551,165 | |||||||
FNMA GTD REMIC
|
156,021 |
principal,
|
4.000%, due 10/25/2019
|
162,910 | |||||||
FNMA GTD REMIC
|
42,755 |
principal,
|
4.000%, due 02/25/2023
|
43,221 | |||||||
FNMA GTD REMIC
|
25,019 |
principal,
|
4.000%, due 10/25/2027
|
25,008 | |||||||
FNMA GTD REMIC
|
272,519 |
principal,
|
4.000%, due 07/25/2024
|
288,346 | |||||||
FNMA GTD REMIC
|
838,218 |
principal,
|
5.000%, due 08/25/2019
|
885,425 | |||||||
FNMA GTD REMIC
|
118,215 |
principal,
|
4.500%, due 08/25/2019
|
125,009 | |||||||
FNMA GTD REMIC
|
563,419 |
principal,
|
VAR RT, due 04/25/2040
|
561,519 | |||||||
FNMA GTD REMIC
|
1,853,368 |
principal,
|
4.000%, due 05/25/2030
|
1,939,569 | |||||||
FNMA GTD REMIC
|
344,456 |
principal,
|
4.500%, due 06/25/2021
|
367,115 | |||||||
FNMA GTD REMIC
|
803,371 |
principal,
|
4.000%, due 04/25/2040
|
842,932 | |||||||
FNMA GTD REMIC
|
3,159,897 |
principal,
|
4.000%, due 03/25/2041
|
3,315,092 | |||||||
FNMA GTD REMIC
|
123,936 |
principal,
|
3.500%, due 03/25/2026
|
129,333 | |||||||
FNMA GTD REMIC
|
645,335 |
principal,
|
4.500%, due 11/25/2022
|
684,241 | |||||||
FNMA GTD REMIC
|
5,250,775 |
principal,
|
4.000%, due 06/25/2041
|
5,562,529 | |||||||
FNMA GTD REMIC
|
771,641 |
principal,
|
5.000%, due 06/25/2021
|
833,079 | |||||||
FNMA GTD REMIC
|
1,101,491 |
principal,
|
5.000%, due 04/25/2020
|
1,190,446 | |||||||
FNMA GTD REMIC
|
654,183 |
principal,
|
VAR RT, due 12/25/2042
|
645,053 | |||||||
FNMA GTD REMIC
|
1,689,266 |
principal,
|
4.000%, due 03/25/2042
|
1,741,890 | |||||||
FNMA GTD REMIC
|
2,562,496 |
principal,
|
5.000%, due 07/25/2040
|
2,812,845 | |||||||
FNMA GTD REMIC
|
4,748,541 |
principal,
|
VAR RT, due 12/25/2017
|
627,377 | |||||||
FNMA GTD REMIC
|
11,963,145 |
principal,
|
3.000%, due 12/25/2043
|
12,227,280 | |||||||
FNMA GTD REMIC
|
5,478,371 |
principal,
|
VAR RT, due 04/25/2043
|
5,421,988 | |||||||
FNMA GTD REMIC
|
2,606,712 |
principal,
|
4.000%, due 07/25/2041
|
2,761,509 | |||||||
GNMA POOL
|
279,104 |
principal,
|
5.000%, due 03/15/2018
|
298,103 | |||||||
GNMA POOL
|
366,608 |
principal,
|
5.500%, due 03/15/2033
|
415,854 | |||||||
GNMA POOL
|
866,674 |
principal,
|
4.000%, due 06/15/2024
|
916,982 | |||||||
GNMA POOL
|
950,899 |
principal,
|
4.000%, due 01/15/2025
|
1,005,650 | |||||||
GNMA POOL
|
513,556 |
principal,
|
5.500%, due 08/15/2021
|
551,128 | |||||||
GNMA POOL
|
308,009 |
principal,
|
6.500%, due 06/15/2022
|
330,485 | |||||||
GNMA POOL
|
395,894 |
principal,
|
5.500%, due 12/15/2023
|
424,838 | |||||||
GNMA GTD REMIC
|
309,778 |
principal,
|
4.000%, due 12/16/2039
|
328,934 | |||||||
GNMA GTD REMIC
|
425,572 |
principal,
|
4.250%, due 12/20/2038
|
450,539 | |||||||
GNMA GTD REMIC
|
402,197 |
principal,
|
4.500%, due 08/20/2034
|
407,896 | |||||||
GNMA GTD REMIC
|
712,736 |
principal,
|
VAR RT, due 07/20/2039
|
733,266 | |||||||
GNMA GTD REMIC
|
343,978 |
principal,
|
3.000%, due 12/16/2038
|
355,037 | |||||||
GNMA GTD REMIC
|
51,543 |
principal,
|
4.500%, due 11/20/2034
|
52,753 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
GNMA GTD REMIC
|
$ | 1,242,264 |
principal,
|
3.500%, due 12/20/2038
|
$ | 1,266,882 | |||||
GNMA GTD REMIC
|
200,000 |
principal,
|
5.000%, due 03/20/2040
|
218,012 | |||||||
GNMA GTD REMIC
|
512,422 |
principal,
|
3.500%, due 12/16/2039
|
530,393 | |||||||
GNMA GTD REMIC
|
244,807 |
principal,
|
2.500%, due 06/20/2038
|
248,780 | |||||||
GNMA GTD REMIC
|
1,590,355 |
principal,
|
3.500%, due 04/16/2041
|
1,654,060 | |||||||
GNMA GTD REMIC
|
12,715,819 |
principal,
|
VAR RT, due 12/16/2051
|
939,127 | |||||||
GNMA GTD REMIC
|
14,763,804 |
principal,
|
VAR RT, due 02/16/2054
|
1,254,333 | |||||||
GNMA GTD REMIC
|
1,963,624 |
principal,
|
0.514%, due 05/16/2035
|
1,920,190 | |||||||
GNMA GTD REMIC
|
3,717,449 |
principal,
|
VAR RT, due 10/16/2054
|
219,984 | |||||||
GNMA GTD REMIC
|
21,802,559 |
principal,
|
VAR RT, due 06/16/2054
|
1,059,517 | |||||||
GNMA GTD REMIC
|
1,865,414 |
principal,
|
3.500%, due 06/16/2042
|
1,923,796 | |||||||
GNMA GTD REMIC
|
8,462,874 |
principal,
|
VAR RT, due 10/16/2054
|
510,912 | |||||||
GNMA GTD REMIC
|
470,783 |
principal,
|
4.000%, due 10/20/2039
|
490,733 | |||||||
GNMA GTD REMIC
|
709,753 |
principal,
|
0.000%, due 02/20/2036
|
697,567 | |||||||
GNMA GTD REMIC
|
1,608,585 |
principal,
|
3.500%, due 08/20/2043
|
1,672,541 | |||||||
GNMA GTD REMIC
|
12,963,258 |
principal,
|
VAR RT, due 10/16/2054
|
727,031 | |||||||
GNMA GTD REMIC
|
20,788,797 |
principal,
|
VAR RT, due 05/16/2054
|
1,209,056 | |||||||
GNMA GTD REMIC
|
13,193,768 |
principal,
|
VAR RT, due 12/16/2053
|
899,868 | |||||||
GNMA GTD REMIC
|
1,960,724 |
principal,
|
1.579%, due 12/16/2042
|
1,929,901 | |||||||
GNMA GTD REMIC
|
12,260,659 |
principal,
|
VAR RT, due 05/16/2053
|
902,299 | |||||||
GNMA GTD REMIC
|
10,880,251 |
principal,
|
VAR RT, due 12/16/2053
|
741,239 | |||||||
GNMA II POOL
|
827,185 |
principal,
|
4.000%, due 11/20/2024
|
874,590 | |||||||
GNMA II POOL
|
923,745 |
principal,
|
4.000%, due 01/20/2025
|
976,703 | |||||||
GNMA II POOL
|
974,945 |
principal,
|
4.000%, due 08/20/2025
|
1,030,689 | |||||||
GNMA II POOL
|
232,647 |
principal,
|
4.000%, due 10/20/2025
|
245,940 | |||||||
GNMA II POOL
|
1,774,103 |
principal,
|
4.000%, due 05/20/2026
|
1,879,971 | |||||||
GS MORTGAGE SECURITIES
|
200,000 |
principal,
|
4.473%, due 03/10/2044
|
218,023 | |||||||
GS MORTGAGE SECURITIES
|
805,359 |
principal,
|
3.679%, due 08/10/2043
|
848,727 | |||||||
GS MORTGAGE SECURITIES
|
1,060,732 |
principal,
|
3.849%, due 12/10/2043
|
1,118,626 | |||||||
GS MORTGAGE SECURITIES
|
955,343 |
principal,
|
1.264%, due 11/10/2046
|
954,707 | |||||||
GSMPS MORTGAGE LOAN
|
378,219 |
principal,
|
8.000%, due 06/25/2034
|
398,118 | |||||||
RESOLUTION FDG CORP STRIP
|
200,000 |
principal,
|
0.000%, due 04/15/2029
|
105,800 | |||||||
RESOLUTION FDG CORP STRIP
|
5,700,000 |
principal,
|
0.000%, due 01/15/2030
|
2,906,561 | |||||||
RESOLUTION FDG CORP STRIP
|
4,170,000 |
principal,
|
0.000%, due 04/15/2030
|
2,108,948 | |||||||
RESOLUTION FDG CORP STRIP
|
1,900,000 |
principal,
|
0.000%, due 10/15/2019
|
1,649,799 | |||||||
SBA GTD PARTN CTFS 1998-20D
|
78,776 |
principal,
|
6.150%, due 04/01/2018
|
83,628 | |||||||
SBA GTD PARTN CTFS 2004-20L
|
40,098 |
principal,
|
4.870%, due 12/01/2024
|
42,924 | |||||||
SBA GTD PARTN CTFS 2005-20A
|
23,045 |
principal,
|
4.860%, due 01/01/2025
|
24,579 | |||||||
SBA GTD PARTN CTFS 2005-20E
|
16,619 |
principal,
|
4.840%, due 05/01/2025
|
17,694 | |||||||
SBA GTD PARTN CTFS 2006-20J
|
415,607 |
principal,
|
5.370%, due 10/01/2026
|
449,313 | |||||||
SBA GTD PARTN CTFS 2006-20K
|
443,556 |
principal,
|
5.360%, due 11/01/2026
|
478,497 | |||||||
SBA GTD PARTN CTFS 2006-20L
|
442,546 |
principal,
|
5.120%, due 12/01/2026
|
470,270 | |||||||
SBA GTD PARTN CTFS 2007-20D
|
369,154 |
principal,
|
5.320%, due 04/01/2027
|
402,610 | |||||||
TENNESSEE VALLEY AUTH BD
|
1,000,000 |
principal,
|
5.880%, due 04/01/2036
|
1,158,424 | |||||||
TENNESSEE VALLEY AUTH BD
|
100,000 |
principal,
|
5.375%, due 04/01/2056
|
103,037 | |||||||
TENNESSEE VALLEY AUTH BD
|
400,000 |
principal,
|
4.875%, due 01/15/2048
|
389,224 | |||||||
TENNESSEE VALLEY AUTH BD
|
2,391,000 |
principal,
|
5.250%, due 09/15/2039
|
2,551,948 | |||||||
TENNESSEE VALLEY AUTH BD
|
100,000 |
principal,
|
4.625%, due 09/15/2060
|
89,443 | |||||||
U S TREASURY BILL
|
8,100,000 |
principal,
|
0.000%, due 01/16/2014
|
8,099,937 | |||||||
U S TREASURY BILL
|
53,000 |
principal,
|
0.000%, due 08/21/2014
|
52,928 | |||||||
U S TREASURY BOND
|
900,000 |
principal,
|
4.375%, due 05/15/2041
|
976,500 | |||||||
U S TREASURY BOND
|
3,300,000 |
principal,
|
3.125%, due 11/15/2041
|
2,850,375 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
U S TREASURY BOND
|
$ | 5,200,000 |
principal,
|
3.125%, due 02/15/2042
|
$ | 4,483,378 | |||||
U S TREASURY BOND
|
1,000,000 |
principal,
|
3.000%, due 05/15/2042
|
838,594 | |||||||
U S TREASURY BOND
|
4,400,000 |
principal,
|
3.125%, due 02/15/2043
|
3,767,500 | |||||||
U S TREASURY BOND
|
1,500,000 |
principal,
|
2.750%, due 11/15/2042
|
1,185,938 | |||||||
U S TREASURY BOND
|
3,300,000 |
principal,
|
4.500%, due 08/15/2039
|
3,657,845 | |||||||
U S TREASURY BOND
|
700,000 |
principal,
|
4.625%, due 02/15/2040
|
790,563 | |||||||
U S TREASURY BOND
|
300,000 |
principal,
|
4.750%, due 02/15/2041
|
345,188 | |||||||
U S TREASURY BOND
|
17,400,000 |
principal,
|
4.250%, due 11/15/2040
|
18,517,411 | |||||||
U S TREASURY BOND
|
5,200,000 |
principal,
|
4.375%, due 11/15/2039
|
5,650,939 | |||||||
U S TREASURY BOND
|
6,600,000 |
principal,
|
5.250%, due 02/15/2029
|
7,944,750 | |||||||
U S TREASURY BOND
|
4,100,000 |
principal,
|
5.000%, due 05/15/2037
|
4,879,000 | |||||||
U S TREASURY NOTE
|
29,770,000 |
principal,
|
0.250%, due 10/31/2015
|
29,728,143 | |||||||
U S TREASURY NOTE
|
800,000 |
principal,
|
0.375%, due 11/15/2014
|
801,531 | |||||||
U S TREASURY NOTE
|
2,000,000 |
principal,
|
2.500%, due 08/15/2023
|
1,920,624 | |||||||
U S TREASURY NOTE
|
300,000 |
principal,
|
0.250%, due 09/30/2014
|
300,246 | |||||||
U S TREASURY NOTE
|
400,000 |
principal,
|
0.250%, due 11/30/2014
|
400,359 | |||||||
U S TREASURY NOTE
|
400,000 |
principal,
|
0.250%, due 10/31/2014
|
400,344 | |||||||
U S TREASURY NOTE
|
3,700,000 |
principal,
|
1.000%, due 05/15/2014
|
3,712,284 | |||||||
U S TREASURY NOTE
|
200,000 |
principal,
|
0.750%, due 06/15/2014
|
200,578 | |||||||
U S TREASURY NOTE
|
2,800,000 |
principal,
|
0.500%, due 08/15/2014
|
2,806,563 | |||||||
U S TREASURY NOTE
|
400,000 |
principal,
|
0.250%, due 06/30/2014
|
400,312 | |||||||
U S TREASURY NOTE
|
1,300,000 |
principal,
|
0.250%, due 08/31/2014
|
1,301,117 | |||||||
U S TREASURY NOTE
|
16,460,000 |
principal,
|
0.125%, due 07/31/2014
|
16,461,926 | |||||||
U S TREASURY NOTE
|
5,700,000 |
principal,
|
0.500%, due 10/15/2014
|
5,716,028 | |||||||
U S TREASURY NOTE
|
5,200,000 |
principal,
|
0.250%, due 05/31/2014
|
5,203,047 | |||||||
U S TREASURY NOTE
|
10,900,000 |
principal,
|
0.250%, due 02/28/2015
|
10,906,813 | |||||||
U S TREASURY NOTE
|
23,800,000 |
principal,
|
0.375%, due 02/15/2016
|
23,777,676 | |||||||
U S TREASURY NOTE
|
19,000,000 |
principal,
|
0.750%, due 06/30/2017
|
18,799,607 | |||||||
U S TREASURY NOTE
|
63,700,000 |
principal,
|
0.875%, due 01/31/2018
|
62,485,750 | |||||||
U S TREASURY NOTE
|
20,400,000 |
principal,
|
1.000%, due 05/31/2018
|
19,953,751 | |||||||
U S TREASURY NOTE
|
300,000 |
principal,
|
1.875%, due 06/30/2020
|
292,711 | |||||||
U S TREASURY NOTE
|
800,000 |
principal,
|
2.000%, due 07/31/2020
|
785,750 | |||||||
U S TREASURY NOTE
|
6,000,000 |
principal,
|
1.375%, due 06/30/2018
|
5,954,532 | |||||||
U S TREASURY NOTE
|
8,750,000 |
principal,
|
0.875%, due 01/31/2017
|
8,758,208 | |||||||
U S TREASURY NOTE
|
11,800,000 |
principal,
|
1.500%, due 08/31/2018
|
11,740,080 | |||||||
U S TREASURY NOTE
|
22,250,000 |
principal,
|
0.750%, due 02/28/2018
|
21,664,202 | |||||||
U S TREASURY NOTE
|
10,000,000 |
principal,
|
1.250%, due 10/31/2018
|
9,803,910 | |||||||
U S TREASURY NOTE
|
10,000,000 |
principal,
|
0.625%, due 11/15/2016
|
9,969,530 | |||||||
U S TREASURY NOTE
|
20,604,000 |
principal,
|
0.250%, due 02/28/2014
|
20,608,822 | |||||||
U S TREASURY NOTE
|
2,575,000 |
principal,
|
0.250%, due 12/31/2015
|
2,568,161 | |||||||
U S TREASURY NOTE
|
29,091,000 |
principal,
|
1.750%, due 03/31/2014
|
29,208,033 | |||||||
U S TREASURY NOTE
|
978,000 |
principal,
|
0.250%, due 09/30/2015
|
977,122 | |||||||
U S TREASURY NOTE
|
14,891,000 |
principal,
|
0.375%, due 08/31/2015
|
14,913,679 | |||||||
U S TREASURY NOTE
|
33,142,000 |
principal,
|
0.250%, due 11/30/2015
|
33,075,981 | |||||||
U S TREASURY NOTES
|
5,051,000 |
principal,
|
0.250%, due 07/31/2015
|
5,050,803 | |||||||
U S TREASURY NT CPN STRIP
|
100,000 |
principal,
|
0.000%, due 05/15/2033
|
45,973 | |||||||
U S TREASURY NT CPN STRIP
|
4,300,000 |
principal,
|
0.000%, due 05/15/2034
|
1,892,284 | |||||||
U S TREASURY NT CPN STRIP
|
1,300,000 |
principal,
|
0.000%, due 05/15/2031
|
653,514 | |||||||
U S TREASURY NT CPN STRIP
|
100,000 |
principal,
|
0.000%, due 11/15/2032
|
46,979 | |||||||
U S TREASURY NT CPN STRIP
|
2,900,000 |
principal,
|
0.000%, due 05/15/2032
|
1,393,688 | |||||||
U S TREASURY NT CPN STRIP
|
950,000 |
principal,
|
0.000%, due 08/15/2032
|
451,365 |
U S TREASURY NT PRIN STRIP
|
4,500,000 |
principal,
|
0.000%, due 11/15/2026
|
2,846,732 | |||||||
U S TREASURY NT PRIN STRIP
|
900,000 |
principal,
|
0.000%, due 02/15/2031
|
464,201 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
U.S. Government securities (continued) | |||||||||||
U S TREASURY NT PRIN STRIP
|
$ | 4,550,000 |
principal,
|
0.000%, due 05/15/2040
|
$ | 1,551,837 | |||||
U S TREASURY NT PRIN STRIP
|
1,500,000 |
principal,
|
0.000%, due 11/15/2040
|
499,685 | |||||||
U S TREASURY NT PRIN STRIP
|
100,000 |
principal,
|
0.000%, due 05/15/2037
|
39,183 | |||||||
U S TREASURY NT PRIN STRIP
|
1,400,000 |
principal,
|
0.000%, due 08/15/2028
|
812,225 | |||||||
U S TREASURY NT PRIN STRIP
|
1,600,000 |
principal,
|
0.000%, due 08/15/2029
|
884,576 | |||||||
U S TREASURY NT PRIN STRIP
|
1,100,000 |
principal,
|
0.000%, due 11/15/2028
|
630,978 | |||||||
U S TREASURY NOTE
|
6,300,000 |
principal,
|
1.375%, due 07/31/2018
|
6,243,401 | |||||||
US TREAS-CPI
|
6,272,750 |
principal,
|
0.375%, due 07/15/2023
|
6,049,773 | |||||||
US TREAS-CPI INFLAT
|
7,660,351 |
principal,
|
0.750%, due 02/15/2042
|
6,158,202 | |||||||
US TREAS-CPI INFLAT
|
8,125,735 |
principal,
|
2.000%, due 01/15/2026
|
8,995,441 | |||||||
US TREAS-CPI INFLAT
|
442,421 |
principal,
|
2.000%, due 01/15/2014
|
442,110 | |||||||
US TREAS-CPI INFLAT
|
10,410,270 |
principal,
|
1.125%, due 01/15/2021
|
10,941,360 | |||||||
US TREAS-CPI INFLAT
|
9,258,794 |
principal,
|
0.125%, due 01/15/2023
|
8,744,495 | |||||||
US TREAS-CPI INFLAT
|
11,013,469 |
principal,
|
0.125%, due 04/15/2018
|
11,232,879 | |||||||
US TREAS-CPI INFLAT
|
13,015,245 |
principal,
|
0.125%, due 04/15/2016
|
13,364,015 | |||||||
US TREAS-CPI INFLAT
|
8,152,405 |
principal,
|
0.125%, due 01/15/2022
|
7,835,228 | |||||||
US TREAS-CPI INFLAT
|
10,329,973 |
principal,
|
0.125%, due 07/15/2022
|
9,894,988 | |||||||
US TREAS-CPI INFLAT
|
3,782,495 |
principal,
|
0.625%, due 07/15/2021
|
3,839,527 | |||||||
US TREAS-CPI INFLAT
|
1,579,853 |
principal,
|
2.000%, due 07/15/2014
|
1,614,658 | |||||||
US TREAS-CPI INFLAT
|
1,387,034 |
principal,
|
2.125%, due 01/15/2019
|
1,548,928 | |||||||
US TREAS-CPI INFLAT
|
7,895,458 |
principal,
|
1.375%, due 01/15/2020
|
8,478,364 | |||||||
US TREAS-CPI INFLAT
|
3,507,460 |
principal,
|
1.250%, due 07/15/2020
|
3,752,435 | |||||||
US TREAS-CPI INFLAT
|
3,117,587 |
principal,
|
1.875%, due 07/15/2019
|
3,464,175 | |||||||
US TREAS-CPI INFLAT
|
2,507,581 |
principal,
|
1.625%, due 01/15/2015
|
2,583,199 | |||||||
US TREAS-CPI INFLAT
|
613,190 |
principal,
|
1.625%, due 01/15/2018
|
666,413 | |||||||
US TREAS-CPI INFLAT
|
8,628,516 |
principal,
|
2.375%, due 01/15/2017
|
9,495,414 | |||||||
US TREAS-CPI INFLAT
|
4,027,075 |
principal,
|
2.375%, due 01/15/2025
|
4,628,933 | |||||||
US TREAS-CPI INFLAT
|
7,604,211 |
principal,
|
2.500%, due 01/15/2029
|
8,936,135 | |||||||
US TREAS-CPI INFLAT
|
3,045,320 |
principal,
|
2.125%, due 02/15/2041
|
3,421,704 | |||||||
US TREAS-CPI INFLAT
|
5,480,781 |
principal,
|
0.625%, due 02/15/2043
|
4,214,205 | |||||||
US TREAS-CPI INFLAT
|
2,620,504 |
principal,
|
2.125%, due 02/15/2040
|
2,944,382 | |||||||
US TREAS-CPI INFLAT
|
4,320,199 |
principal,
|
1.750%, due 01/15/2028
|
4,625,313 | |||||||
US TREAS-CPI INFLAT
|
3,011,294 |
principal,
|
2.375%, due 01/15/2027
|
3,468,634 | |||||||
US TREAS-CPI INFLAT
|
4,866,137 |
principal,
|
3.875%, due 04/15/2029
|
6,668,890 | |||||||
US TREAS-CPI INFLAT
|
685,938 |
principal,
|
3.625%, due 04/15/2028
|
907,367 | |||||||
US TREAS-CPI INFLATION INDEX
|
17,712,984 |
principal,
|
0.125%, due 04/15/2017
|
18,205,618 | |||||||
US TREAS-CPI INFLATION INDEX
|
8,918,547 |
principal,
|
0.500%, due 04/15/2015
|
9,114,326 | |||||||
COMMIT TO PUR FNMA SF MTG
|
13,000,000 |
principal,
|
3.500%, due 02/01/2044
|
12,875,078 | |||||||
COMMIT TO PUR FNMA SF MTG
|
5,000,000 |
principal,
|
5.000%, due 01/01/2044
|
5,430,078 | |||||||
COMMIT TO PUR FNMA SF MTG
|
5,000,000 |
principal,
|
5.000%, due 02/01/2044
|
5,414,453 | |||||||
COMMIT TO PUR FNMA SF MTG
|
1,000,000 |
principal,
|
4.500%, due 12/01/2043
|
1,058,393 | |||||||
Total U.S. Government securities
|
$ | 1,412,017,122 |
State and municipal bonds | |||||||||||
AMERICAN MUNI PWR-OHIO INC OH
|
$ | 700,000 |
principal,
|
7.834%, due 02/15/2041
|
$ | 888,202 | |||||
AMERICAN MUNI PWR-OHIO INC OH
|
300,000 |
principal,
|
8.084%, due 02/15/2050
|
396,030 | |||||||
BAY AREA CA TOLL AUTH TOLL BRI OGE X
|
1,500,000 |
principal,
|
7.043%, due 04/01/2050
|
1,851,885 | |||||||
BAY AREA CA TOLL AUTH TOLL BRI OGE Y
|
300,000 |
principal,
|
6.907%, due 10/01/2050
|
364,587 | |||||||
CALIFORNIA ST
|
100,000 |
principal,
|
4.500%, due 08/01/2028
|
101,547 | |||||||
CALIFORNIA ST
|
2,025,000 |
principal,
|
7.500%, due 04/01/2034
|
2,585,662 |
CALIFORNIA ST
|
1,100,000 |
principal,
|
7.625%, due 03/01/2040
|
1,439,757 | |||||||
CALIFORNIA ST
|
525,000 |
principal,
|
7.600%, due 11/01/2040
|
692,176 | |||||||
CALIFORNIA ST
|
4,050,000 |
principal,
|
7.550%, due 04/01/2039
|
5,242,604 | |||||||
CALIFORNIA ST
|
275,000 |
principal,
|
7.300%, due 10/01/2039
|
345,978 | |||||||
CALIFORNIA ST
|
1,000,000 |
principal,
|
3.950%, due 11/01/2015
|
1,058,910 | |||||||
CALIFORNIA ST UNIV REVENUE
|
100,000 |
principal,
|
6.484%, due 11/01/2041
|
112,578 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
State and municipal bonds (continued) | |||||||||||
CHICAGO IL TRANSIT AUTH SALES
|
$ | 100,000 |
principal,
|
6.200%, due 12/01/2040
|
$ | 104,203 | |||||
DALLAS TX AREA RAPID TRANSIT S
|
100,000 |
principal,
|
6.249%, due 12/01/2034
|
107,751 | |||||||
DALLAS TX AREA RAPID TRANSIT S
|
100,000 |
principal,
|
5.022%, due 12/01/2048
|
101,699 | |||||||
DALLAS TX WTRWKS & SWR SYS REV
|
500,000 |
principal,
|
5.000%, due 10/01/2037
|
526,350 | |||||||
HAMILTON CNTY OH SALES TAX
|
100,000 |
principal,
|
0.000%, due 12/01/2028
|
48,747 | |||||||
HARRIS CNTY TX MET TRANSIT AUT
|
300,000 |
principal,
|
6.875%, due 11/01/2038
|
335,433 | |||||||
ILLINOIS ST
|
3,500,000 |
principal,
|
5.365%, due 03/01/2017
|
3,809,505 | |||||||
ILLINOIS ST
|
9,575,000 |
principal,
|
5.665%, due 03/01/2018
|
10,436,559 | |||||||
INDIANAPOLIS IN LOCAL PUBLIC I
|
100,000 |
principal,
|
6.004%, due 01/15/2040
|
109,724 | |||||||
LOS ANGELES CA DEPARTMENT OF W
|
700,000 |
principal,
|
6.574%, due 07/01/2045
|
859,873 | |||||||
LOS ANGELES CA UNIF SCH DIST
|
1,800,000 |
principal,
|
6.758%, due 07/01/2034
|
2,214,252 | |||||||
MET TRANSPRTN AUTH NY REVENUE
|
1,100,000 |
principal,
|
6.814%, due 11/15/2040
|
1,306,932 | |||||||
MICHIGAN ST UNIV REVENUES
|
100,000 |
principal,
|
6.173%, due 02/15/2050
|
104,077 | |||||||
MUNI ELEC AUTH OF GEORGIA
|
300,000 |
principal,
|
6.637%, due 04/01/2057
|
315,642 | |||||||
MUNI ELEC AUTH OF GEORGIA
|
700,000 |
principal,
|
6.655%, due 04/01/2057
|
732,130 | |||||||
NEW JERSEY ST TRANSPRTN TRUST
|
200,000 |
principal,
|
6.875%, due 12/15/2039
|
215,912 | |||||||
NEW JERSEY ST TURNPIKE AUTH
|
2,900,000 |
principal,
|
7.102%, due 01/01/2041
|
3,695,876 | |||||||
NEW YORK CITY NY MUNI WTR FIN
|
900,000 |
principal,
|
5.724%, due 06/15/2042
|
1,003,761 | |||||||
NEW YORK CITY NY MUNI WTR FIN
|
100,000 |
principal,
|
6.124%, due 06/15/2042
|
106,582 | |||||||
NEW YORK CITY NY MUNI WTR FIN
|
400,000 |
principal,
|
5.250%, due 06/15/2044
|
417,140 | |||||||
NEW YORK CITY NY TRANSITIONAL
|
100,000 |
principal,
|
5.267%, due 05/01/2027
|
107,838 | |||||||
NEW YORK NY
|
300,000 |
principal,
|
6.271%, due 12/01/2037
|
343,119 | |||||||
NTHRN CA PWR AGY
|
100,000 |
principal,
|
7.311%, due 06/01/2040
|
110,492 | |||||||
PASADENA CA PUBLIC FING AUTH L
|
100,000 |
principal,
|
7.148%, due 03/01/2043
|
112,302 | |||||||
RIVERSIDE CA ELEC REVENUE
|
100,000 |
principal,
|
7.605%, due 10/01/2040
|
127,061 | |||||||
RIVERSIDE CA SWR REVENUE
|
800,000 |
principal,
|
7.200%, due 08/01/2039
|
853,064 | |||||||
SACRAMENTO CA MUNI UTILITY DIS
|
150,000 |
principal,
|
5.000%, due 08/15/2029
|
162,486 | |||||||
SAN DIEGO CNTY CA WTR AUTH FIN
|
500,000 |
principal,
|
6.138%, due 05/01/2049
|
575,495 | |||||||
TEXAS ST TRANSPRTN COMMISSION
|
200,000 |
principal,
|
5.028%, due 04/01/2026
|
215,128 | |||||||
TOBACCO SETTLEMENT AUTH IA TOB
|
100,000 |
principal,
|
STEP, due 06/01/2034
|
82,646 | |||||||
Total state and municipal bonds
|
$ | 44,321,695 |
Foreign obligations | |||||||||||
BANCO NACIONAL DE DESENVOLVIME
|
$ | 100,000 |
principal,
|
5.500%, due 07/12/2020
|
$ | 102,000 | |||||
COLOMBIA GOVERNMENT INTERNATIONAL
|
100,000 |
principal,
|
6.125%, due 01/18/2041
|
107,000 | |||||||
COOPERATIEVE CENTRALE RAIFFEIS
|
800,000 |
principal,
|
5.250%, due 05/24/2041
|
825,382 | |||||||
EXPORT-IMPORT BK KOREA
|
4,175,000 |
principal,
|
4.000%, due 01/11/2017
|
4,422,957 | |||||||
FONDS D'EQUIEMENT COMMUNAL
|
440,091 |
principal,
|
7.550%, due 07/15/2026
|
536,884 | |||||||
HYDRO QUEBEC | 300,000 |
principal,
|
6.500%, due 02/15/2035 | 371,207 | |||||||
ISRAEL ST AID
|
800,000 |
principal,
|
0.000%, due 05/15/2023
|
569,827 | |||||||
ISRAEL ST AID
|
300,000 |
principal,
|
0.000%, due 11/15/2022
|
219,891 | |||||||
ISRAEL ST AID
|
1,300,000 |
principal,
|
0.000%, due 02/15/2024
|
886,746 | |||||||
ISRAEL ST AID
|
200,000 |
principal,
|
5.500%, due 09/18/2033
|
233,122 | |||||||
ISRAEL ST AID
|
800,000 |
principal,
|
5.500%, due 12/04/2023
|
921,804 | |||||||
KINGDOM OF SPAIN
|
4,300,000 |
principal,
|
4.000%, due 03/06/2018
|
4,370,950 | |||||||
KOREA LAND & HOUSING CORP
|
2,575,000 |
principal,
|
4.875%, due 09/10/2014
|
2,641,512 | |||||||
MEXICAN CETES
|
1,177,650 |
principal,
|
0.000%, due 01/16/2014
|
89,687 | |||||||
MEXICAN CETES
|
3,420,000 | principal, |
0.000%, due 05/15/2014
|
257,418 | |||||||
MEXICAN CETES
|
2,409,000 | principal, |
0.000%, due 02/13/2014
|
183,058 | |||||||
MEXICAN CETES
|
10,330,000 | principal, |
0.000%, due 06/26/2014
|
774,793 | |||||||
MEXICAN CETES
|
4,650,000 | principal, |
0.000%, due 03/27/2014
|
352,084 | |||||||
MEXICAN CETES
|
16,522,350 | principal, |
0.000%, due 06/12/2014
|
1,240,537 | |||||||
MEXICO CETES
|
6,291,000 | principal, |
0.000%, due 03/20/2014
|
476,499 | |||||||
MEXICO GOVERNMENT INTERNATIONA
|
100,000 | principal, |
6.050%, due 01/11/2040
|
108,750 | |||||||
MEXICO GOVERNMENT INTERNATIONA
|
200,000 | principal, |
5.950%, due 03/19/2019
|
231,000 | |||||||
MEXICO GOVERNMENT INTERNATIONA
|
800,000 | principal, |
5.125%, due 01/15/2020
|
886,400 | |||||||
MEXICO GOVERNMENT INTERNATIONA
|
100,000 | principal, |
5.750%, due 10/12/2039
|
92,500 | |||||||
PROV OF ONTARIO
|
300,000 | principal, |
5.600%, due 06/02/2035
|
341,328 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Foreign obligations (continued | |||||||||||
PROV OF QUEBEC
|
$ | 2,500,000 |
principal,
|
5.750%, due 12/01/2036
|
$ | 2,866,847 | |||||
PROVINCE OF ONTARIO CANADA
|
200,000 |
principal,
|
4.400%, due 04/14/2020
|
219,440 | |||||||
QATAR GOVERNMENT INTERNATIONAL
|
100,000 |
principal,
|
6.400%, due 01/20/2040
|
113,667 | |||||||
REPUBLIC OF KOREA
|
1,700,000 |
principal,
|
5.750%, due 04/16/2014
|
1,724,404 | |||||||
REPUBLIC OF KOREA
|
200,000 |
principal,
|
5.750%, due 04/16/2014
|
202,871 | |||||||
REPUBLIC OF SLOVENIA
|
1,200,000 |
principal,
|
4.700%, due 11/01/2016
|
1,700,086 | |||||||
Total foreign obligations
|
$ | 28,070,651 | |||||||||
Repurchase agreements | |||||||||||
JP MORGAN CP REP REPO
|
$ | 2,000,000 |
principal,
|
0.050%, due 01/02/2014
|
$ | 2,000,000 | |||||
JP MORGAN CP REP REPO
|
7,500,000 |
principal,
|
0.020%, due 01/02/2014
|
7,500,000 | |||||||
BARCLAYS CP REP REPO
|
6,000,000 |
principal,
|
0.010%, due 01/02/2014
|
6,000,000 | |||||||
MORGAN STANLEY REP REPO
|
29,800,000 |
principal,
|
0.010%, due 01/02/2014
|
29,800,000 | |||||||
CREDIT SUISSE REPO
|
5,400,000 |
principal,
|
0.030%, due 01/02/2014
|
5,400,000 | |||||||
Total repurchase agreements
|
$ | 50,700,000 | |||||||||
Self-directed brokerage accounts | Various | $ | 416,001,855 |
Derivative assets and liabilities | |||||||
JPMorgan
|
US 10YR TREAS NTS FUTURE (CBT)
|
3/20/2014
|
$ | 154,328 | |||
JP Morgan Chase
|
US 5YR TREAS NTS FUTURE (CBT)
|
3/31/2014
|
565,625 | ||||
JP Morgan Chase
|
US 2YR TREASURY NTS FUTURE (CBT)
|
3/31/2014
|
78,125 | ||||
Merrill Lynch Pierce Fenner & Smith
|
90DAY EURODOLLAR FUTURE (CME)
|
3/16/2015
|
174,500 | ||||
Merrill Lynch Pierce Fenner & Smith
|
90DAY EURODOLLAR FUTURE (CME)
|
3/14/2016
|
(27,075 | ) | |||
Merrill Lynch Pierce Fenner & Smith
|
90DAY EURODOLLAR FUTURE (CME)
|
12/14/2015
|
15,400 | ||||
Barclays Capital Inc.
|
90DAY EURODOLLAR FUTURE (CME)
|
6/13/2016
|
(425,499 | ) | |||
Barclays Capital Inc.
|
90DAY EURODOLLAR FUTURE (CME)
|
9/19/2016
|
(906,845 | ) | |||
Goldman Sachs & Co
|
US TREAS BD FUTURE (CBT)
|
3/20/2014
|
431,345 | ||||
Goldman Sachs & Co
|
US 10YR TREAS NTS FUTURE (CBT)
|
3/20/2014
|
(922,500 | ) | |||
Goldman Sachs & Co
|
US ULTRA BOND FUTURE (CBT)
|
3/20/2014
|
3,811 | ||||
Barclays Capital Inc.
|
USD IRS 30YR PRIM FUTURE (CBT)
|
3/17/2014
|
3,797 | ||||
JP Morgan Securities
|
US 10YR TREAS NTS FUTURE (CBT)
|
3/20/2014
|
83,531 | ||||
Goldman Sachs & Co
|
90DAY EURODOLLAR FUTURE
|
CALL 12/15/14
|
29,500 | ||||
Merrill Lynch Pierce Fenner & Smith
|
EURO$ 3YR MID-CRV FUTURE
|
PUT 03/14/17
|
(4,500 | ) | |||
Goldman Sachs & Co
|
90DAY EURODOLLAR FUTURE
|
PUT 12/15/14
|
(59,000 | ) | |||
Goldman Sachs Bank USA
|
IRO R US0003M P 1.9% 3/19/19
|
PUT 03/17/14
|
(173,422 | ) | |||
JP Morgan Chase Bank, N.A.
|
IRO R US0003M P 2.5% 1/29/24
|
CALL 1/27/14
|
(1 | ) | |||
Goldman Sachs Bank USA
|
IRS P USD 5Y 1.3 03/19/19
|
CALL 3/19/19
|
(788 | ) | |||
Royal Bank of Scotland PLC
|
IRS R US0003M P 2.5% 01/29/24
|
CALL 11/27/14
|
(1 | ) | |||
Goldman Sachs Bank USA
|
IRS R US0003M P 2% 04/04/14
|
PUT 04/04/16
|
(170,649 | ) | |||
Citibank NA
|
IRO R US0003M P 3.1% 03/05/24
|
PUT 03/03/14
|
(50,673 | ) | |||
Goldman Sachs Bank USA
|
IRS P US0003M R 2% 01/29/19
|
PUT 01/27/14
|
(896 | ) | |||
Goldman Sachs Bank USA
|
IRS R US0003M P 1.4% 01/29/19
|
CALL 1/27/14
|
(4 | ) | |||
Royal Bank of Scotland PLC
|
IRS R US0003M P 2.5% 01/29/24
|
CALL 11/27/14
|
(17 | ) | |||
Citibank NA
|
IRS R US0003M P 2.65% 03/05/14
|
PUT 03/03/14
|
(1,153 | ) | |||
Royal Bank of Scotland PLC
|
IRS R US0003M P 3.5% 01/29/20
|
PUT 01/27/14
|
(8,683 | ) | |||
Citibank NA
|
INF FLR CPURNSA 216.687 @0
|
CALL 04/07/20
|
(442 | ) | |||
Barclays Bank PLC
|
CDS_SP UL PEOPLES REP OF CHINA
|
9/20/2016
|
12,366 | ||||
BNP Paribas Securities Corp
|
CDS_BP UL LENNAR CORP
|
6/20/2015
|
(88,905 | ) | |||
Citibank NA
|
CDS SP UL FEDERATIVE REPUBLIC
|
3/20/2016
|
(626 | ) | |||
Chicago Mercantile Exchange Inc
|
CCP_CDX HY16 5Y CME
|
6/20/2016
|
(231,066 | ) | |||
Chicago Mercantile Exchange Inc
|
CCP_CDX HY18 5Y CME
|
6/20/2017
|
(473,075 | ) | |||
Chicago Mercantile Exchange Inc
|
CCP_CDX HY19 5Y CME
|
12/20/2017
|
(225,594 | ) | |||
Deutsche Bank AG/London
|
CDS SP UL CITIGROUP INC.
|
9/20/2014
|
6,155 | ||||
Goldman Sachs International
|
CDS BP UL CHESAPEAKE ENERGY C
|
6/20/2014
|
(18,528 | ) | |||
IntercontinentalExchange Holdings
|
CCP_CDX SP UL CDX IG21 5Y
|
12/20/2018
|
152,159 | ||||
Barclays Bank PLC
|
IRS_P MXIBTIIE R 8.3%
|
2/7/2019
|
14,685 | ||||
Chicago Mercantile Exchange Inc
|
CCP_IRS R US0003M P 2.75%
|
10/22/2023
|
415,552 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Derivative assets and liabilities (continued) | ||||||||
Bank of New York Mellon Corp
|
FX Forward BRL USD |
1/2/2014
|
$ | 10 | ||||
Bank of New York Mellon Corp
|
FX Forward BRL USD |
1/2/2014
|
11 | |||||
Bank of New York Mellon Corp
|
FX Forward BRL USD |
1/2/2014
|
1 | |||||
Bank of New York Mellon Corp
|
FX Forward USD BRL |
1/2/2014
|
(937 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward BRL USD |
1/3/2014
|
(6 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward BRL USD |
1/3/2014
|
8 | |||||
Bank of New York Mellon Corp
|
FX Forward BRL USD |
1/3/2014
|
(1 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward USD CHF |
1/3/2014
|
(48 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward USD CHF |
1/6/2014
|
(58 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward USD JPY |
1/7/2014
|
(90 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward JPY USD |
1/8/2014
|
513 | |||||
Bank of New York Mellon Corp
|
FX Forward USD JPY |
1/8/2014
|
(823 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward EUR USD |
3/19/2014
|
4,211 | |||||
Bank of New York Mellon Corp
|
FX Forward EUR USD |
3/19/2014
|
(496,628 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward EUR USD |
3/19/2014
|
(3,725 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward EUR USD |
3/19/2014
|
(6,899 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward EUR USD |
3/19/2014
|
(7,017 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward JPY USD |
3/19/2014
|
57,592 | |||||
Bank of New York Mellon Corp
|
FX Forward JPY USD |
3/19/2014
|
7,047 | |||||
Bank of New York Mellon Corp
|
FX Forward JPY USD |
3/19/2014
|
1,026 | |||||
Bank of New York Mellon Corp
|
FX Forward JPY USD |
3/19/2014
|
984,118 | |||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(391,617 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(164 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(11,243 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(13,789 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(10,958 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(82,957 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(15,496 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward SEK USD |
3/19/2014
|
(4,021 | ) | ||||
Bank of New York Mellon Corp
|
FX Forward USD EUR |
3/19/2014
|
4,512 | |||||
Bank of New York Mellon Corp
|
FX Forward USD EUR |
3/19/2014
|
1,872 | |||||
Bank of New York Mellon Corp
|
FX Forward USD EUR |
3/19/2014
|
330 | |||||
Brown Brothers Harriman & Co
|
FX Forward EUR USD |
1/2/2014
|
(230 | ) | ||||
Brown Brothers Harriman & Co
|
FX Forward GBP USD |
1/2/2014
|
(1,064 | ) | ||||
Brown Brothers Harriman & Co
|
FX Forward AUD USD |
1/3/2014
|
(433 | ) | ||||
Brown Brothers Harriman & Co
|
FX Forward SEK USD |
1/3/2014
|
(1,616 | ) | ||||
Brown Brothers Harriman & Co
|
FX Forward JPY USD |
1/6/2014
|
84 | |||||
Brown Brothers Harriman & Co
|
FX Forward JPY USD |
1/7/2014
|
(27 | ) | ||||
Brown Brothers Harriman & Co
|
FX Forward JPY USD |
1/8/2014
|
40 | |||||
BNP Paribas Securities Corp
|
FX Forward MXN USD |
1/16/2014
|
775 | |||||
BNP Paribas Securities Corp
|
FX Forward JPY USD |
2/18/2014
|
21,493 | |||||
BNP Paribas Securities Corp
|
FX Forward MXN USD |
3/27/2014
|
8,377 | |||||
BNP Paribas Securities Corp
|
FX Forward MXN USD |
5/15/2014
|
2,493 | |||||
Citibank NA
|
FX Forward EUR USD |
3/13/2014
|
638 | |||||
Citibank NA
|
FX Forward MXN USD |
3/20/2014
|
6,273 | |||||
Deutsche Bank AG/London
|
FX Forward USD CAD |
1/2/2014
|
10,815 | |||||
Deutsche Bank AG/London
|
FX Forward AUD USD |
1/3/2014
|
0 | |||||
Deutsche Bank AG/London
|
FX Forward USD CAD |
1/6/2014
|
17 | |||||
Deutsche Bank AG/London
|
FX Forward JPY USD |
1/7/2014
|
2,621 | |||||
Deutsche Bank AG/London
|
FX Forward USD CHF |
3/19/2014
|
74,628 | |||||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
507,329 | |||||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
26,126 | |||||
Deutsche Bank AG/London
|
FX Forward USD CHF |
3/19/2014
|
694 | |||||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
21,878 | |||||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
18,237 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Derivative assets and liabilities (continued) | |||||||
Deutsche Bank AG/London
|
FX Forward USD CHF |
3/19/2014
|
$ | (141 | ) | ||
Deutsche Bank AG/London
|
FX Forward USD CHF |
3/19/2014
|
39,453 | ||||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
45,369 | ||||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
21,455 | ||||
Deutsche Bank AG/London
|
FX Forward USD CHF |
3/19/2014
|
2,965 | ||||
Deutsche Bank AG/London
|
FX Forward USD CHF |
3/19/2014
|
(2,485 | ) | |||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
3,023 | ||||
Deutsche Bank AG/London
|
FX Forward USD GBP |
3/19/2014
|
4,785 | ||||
Deutsche Bank AG/London
|
FX Forward USD CHF |
3/19/2014
|
(2,502 | ) | |||
Deutsche Bank AG/London
|
FX Forward CAD USD |
3/20/2014
|
(2,672 | ) | |||
Deutsche Bank AG/London
|
FX Forward CAD USD |
3/20/2014
|
(4,718 | ) | |||
HSBC Securities Inc
|
FX Forward USD THB |
1/2/2014
|
(1 | ) | |||
HSBC Securities Inc
|
FX Forward USD THB |
1/3/2014
|
(4 | ) | |||
HSBC Securities Inc
|
FX Forward GBP EUR |
1/3/2014
|
(3 | ) | |||
HSBC Securities Inc
|
FX Forward USD JPY |
2/18/2014
|
(61,975 | ) | |||
JPMorgan Chase Bank NA
|
FX Forward GBP USD |
2/20/2014
|
(100,384 | ) | |||
JPMorgan Chase Bank NA
|
FX Forward MXN USD |
6/12/2014
|
13,242 | ||||
JPMorgan Chase Bank NA
|
FX Forward MXN USD |
6/26/2014
|
3,209 | ||||
Morgan Stanley Capital Services LLC
|
FX Forward BRL USD |
1/3/2014
|
3,989 | ||||
Morgan Stanley Capital Services LLC
|
FX Forward BRL USD |
1/3/2014
|
3,989 | ||||
Morgan Stanley Capital Services LLC
|
FX Forward USD BRL |
1/3/2014
|
(17,602 | ) | |||
Morgan Stanley Capital Services LLC
|
FX Forward USD BRL |
2/4/2014
|
(4,149 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward AUD USD |
3/19/2014
|
105,116 | ||||
Royal Bank of Scotland PLC
|
FX Forward AUD USD |
3/19/2014
|
(5,134 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward AUD USD |
3/19/2014
|
732 | ||||
Royal Bank of Scotland PLC
|
FX Forward ILS USD |
3/19/2014
|
(988 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward ILS USD |
3/19/2014
|
(36,233 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward ILS USD |
3/19/2014
|
(183 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward NOK USD |
3/19/2014
|
(2,771 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward NOK USD |
3/19/2014
|
(505 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward NOK USD |
3/19/2014
|
(10,440 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward NOK USD |
3/19/2014
|
(6,508 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward NOK USD |
3/19/2014
|
(47,643 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward NOK USD |
3/19/2014
|
(52,094 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward NZD USD |
3/19/2014
|
(5,381 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward USD AUD |
3/19/2014
|
8,624 | ||||
Royal Bank of Scotland PLC
|
FX Forward USD ILS |
3/19/2014
|
355 | ||||
Royal Bank of Scotland PLC
|
FX Forward USD NZD |
3/19/2014
|
17,695 | ||||
Royal Bank of Scotland PLC
|
FX Forward USD AUD |
3/19/2014
|
(7,373 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward USD ILS |
3/19/2014
|
533 | ||||
Royal Bank of Scotland PLC
|
FX Forward USD NOK |
3/19/2014
|
618 | ||||
Royal Bank of Scotland PLC
|
FX Forward USD AUD |
3/19/2014
|
2,060 | ||||
Royal Bank of Scotland PLC
|
FX Forward USD AUD |
3/19/2014
|
6,806 | ||||
Royal Bank of Scotland PLC
|
FX Forward USD NZD |
3/19/2014
|
(138,569 | ) | |||
Royal Bank of Scotland PLC
|
FX Forward USD NOK |
3/19/2014
|
75,675 | ||||
State Street Corp
|
FX Forward USD SGD |
1/2/2014
|
145 | ||||
State Street Corp
|
FX Forward SGD USD |
1/3/2014
|
(14 | ) | |||
State Street Corp
|
FX Forward USD JPY |
1/7/2014
|
246 | ||||
Toronto Dominion Bank
|
FX Forward HKD USD |
1/2/2014
|
(13 | ) | |||
Toronto Dominion Bank
|
FX Forward AUD USD |
1/3/2014
|
(9 | ) | |||
Toronto Dominion Bank
|
FX Forward JPY USD |
1/8/2014
|
74 | ||||
UBS AG/Stamford CT
|
FX Forward EUR USD |
1/2/2014
|
111 | ||||
UBS AG/Stamford CT
|
FX Forward EUR USD |
1/2/2014
|
(1,434 | ) | |||
UBS AG/Stamford CT
|
FX Forward TRY USD |
1/2/2014
|
327 | ||||
UBS AG/Stamford CT
|
FX Forward USD NOK |
1/2/2014
|
2,262 | ||||
UBS AG/Stamford CT
|
FX Forward AUD USD |
1/3/2014
|
(5,439 | ) | |||
UBS AG/Stamford CT
|
FX Forward CHF USD |
1/3/2014
|
3,908 | ||||
UBS AG/Stamford CT
|
FX Forward EUR USD |
1/3/2014
|
0 |
Hewlett-Packard Company 401(k) Plan
|
EIN #94-1081436 Plan #004
|
Schedule H, Line 4i – Schedule of Assets (Held at End of Year) (continued)
|
(c) | |||||||
(b)
|
Description of Investment, Including |
(e)
|
|||||
Identity of Issue, Borrower,
|
Maturity Date, Rate of Interest, Collateral, |
Current
|
|||||
(a)
|
Lessor, or Similar Party
|
and Par or Maturity Value
|
Value
|
Derivative assets and liabilities (continued) | |||||||||
UBS AG/Stamford CT
|
FX Forward USD NOK |
1/3/2014
|
$ | 384 | |||||
UBS AG/Stamford CT
|
FX Forward USD EUR |
1/3/2014
|
0 | ||||||
UBS AG/Stamford CT
|
FX Forward USD DKK |
1/6/2014
|
(23 | ) | |||||
UBS AG/Stamford CT
|
FX Forward USD NOK |
1/6/2014
|
2 | ||||||
UBS AG/Stamford CT
|
FX Forward USD JPY |
1/6/2014
|
(1,023 | ) | |||||
UBS AG/Stamford CT
|
FX Forward USD EUR |
1/6/2014
|
1 | ||||||
UBS AG/Stamford CT
|
FX Forward USD EUR |
1/7/2014
|
(2 | ) | |||||
UBS AG/Stamford CT
|
FX Forward CAD USD |
3/19/2014
|
(1,276 | ) | |||||
UBS AG/Stamford CT
|
FX Forward CAD USD |
3/19/2014
|
3,193 | ||||||
UBS AG/Stamford CT
|
FX Forward HKD USD |
3/19/2014
|
40 | ||||||
UBS AG/Stamford CT
|
FX Forward HKD USD |
3/19/2014
|
1 | ||||||
UBS AG/Stamford CT
|
FX Forward HKD USD |
3/19/2014
|
(630 | ) | |||||
UBS AG/Stamford CT
|
FX Forward HKD USD |
3/19/2014
|
1,357 | ||||||
UBS AG/Stamford CT
|
FX Forward SGD USD |
3/19/2014
|
15,525 | ||||||
UBS AG/Stamford CT
|
FX Forward USD CAD |
3/19/2014
|
32,278 | ||||||
UBS AG/Stamford CT
|
FX Forward USD DKK |
3/19/2014
|
254,015 | ||||||
UBS AG/Stamford CT
|
FX Forward USD DKK |
3/19/2014
|
566 | ||||||
UBS AG/Stamford CT
|
FX Forward USD SGD |
3/19/2014
|
(290 | ) | |||||
UBS AG/Stamford CT
|
FX Forward USD DKK |
3/19/2014
|
457 | ||||||
Westpac Banking Corp
|
FX Forward GBP EUR |
1/2/2014
|
(20 | ) | |||||
Total derivative assets and liabilities | $ | (781,187 | ) | ||||||
Total investments | $ | 16,569,462,156 | |||||||
* Participant loans | Interest rates ranging from 3.25% to 11.50% | ||||||||
and maturity dates through 2037 | 232,775,862 | ||||||||
Total | $ | 16,802,238,018 | |||||||
* Indicates party-in-interest. | |||||||||
Note: Column (d) cost, has been omitted, as all investments are participant-directed. |
HEWLETT-PACKARD COMPANY 401(k) PLAN
|
|||
/s/ Rishi Varma | |||
June 27, 2014
|
Rishi Varma
|
||
Senior Vice President,
Deputy General Counsel
and Assistant Secretary
|