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MICROSOFT CORP Regulatory Filings 2013

Jun 27, 2013

29734_rns_2013-06-27_594fd8d3-c84d-4fb3-be06-18d5d82c014f.zip

Regulatory Filings

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Table of Contents

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

FORM 11-K

x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2012

¨ TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the Transition Period from to

Commission File Number 0-14278

A. Full title of the plan and the address of the plan, if different from that of the issuer named below:

MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:

Microsoft Corporation

One Microsoft Way

Redmond, Washington 98052-6399

REQUIRED INFORMATION

The Microsoft Corporation Savings Plus 401(k) Plan (the Plan) is subject to the Employee Retirement Income Security Act of 1974 (ERISA). Therefore, in lieu of the required information outlined as Items 1-3 of the Form 11-K, the statements of net assets available for benefits and the related statements of changes in net assets available for benefits for 2012 and 2011, which have been prepared in accordance with the financial reporting requirements of ERISA, are attached hereto as Appendix 1 and incorporated herein by this reference.

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SIGNATURES

The Plan. Pursuant to the requirements of the Securities and Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.

Microsoft Corporation Savings Plus 401(k) Plan
Date: June 26, 2013 /s/ Lisa Brummel
Lisa Brummel
Member of 401(k) Administrative Committee
Date: June 26, 2013 /s/ William J. Sample
William J. Sample
Member of 401(k) Administrative Committee
Date: June 26, 2013 /s/ George Zinn
George Zinn
Member of 401(k) Administrative Committee

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APPENDIX 1

MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM;

FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2012 AND 2011;

NOTES TO FINANCIAL STATEMENTS; AND

SUPPLEMENTAL SCHEDULE OF ASSETS HELD AT END OF YEAR AS OF DECEMBER 31, 2012

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

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Page
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM 1
FINANCIAL STATEMENTS:
Statements of Net Assets Available for Benefits as of December 31, 2012 and 2011 2
Statements of Changes in Net Assets Available for Benefits for the Years Ended December 31, 2012 and
2011 3
Notes to Financial Statements 4
SUPPLEMENTAL SCHEDULE:
Supplemental Schedule of Assets Held at End of Year as of December 31, 2012 12
EXHIBITS:
Consent Independent Registered Public Accounting Firm 39

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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

To the Participants and Administrators of the Microsoft Corporation Savings Plus 401(k) Plan

Redmond, WA

We have audited the accompanying statements of net assets available for benefits of Microsoft Corporation Savings Plus 401(k) Plan (the “Plan”) as of December 31, 2012 and 2011, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with standards of Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2012 and 2011, and the changes in net assets available for benefits for the years ended December 31, 2012 and 2011 in conformity with accounting principles generally accepted in the United States of America.

Our audits were conducted for the purpose of forming an opinion on the financial statements as a whole. The supplemental schedule of assets held at end of year as of December 31, 2012, is presented for the purpose of additional analysis and is not a required part of the basic financial statements, but is supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental schedule is the responsibility of the Plan’s management. Such schedule has been subjected to the auditing procedures applied in our audit of the basic 2012 financial statements and, in our opinion, is fairly stated in all material respects when considered in relation to the basic financial statements taken as a whole.

Seattle, Washington

June 26, 2013

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS

December 31, 2012 2011
ASSETS
Cash $ 4,965,226 $ 7,126,803
Investments held by trustee, at fair value 8,617,988,116 7,235,505,373
Receivables:
Participant loans 89,891,912 83,951,768
Other receivables 12,177,455 9,856,032
Total receivables 102,069,367 93,807,800
Total assets $ 8,725,022,709 $ 7,336,439,976
LIABILITIES
Operating payables $ 2,956,389 $ 2,619,877
Other payables 23,411,544 7,288,849
Total liabilities 26,367,933 9,908,726
NET ASSETS AVAILABLE FOR BENEFITS $ 8,698,654,776 $ 7,326,531,250

See accompanying notes.

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STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS

Year Ended December 31, 2012 2011
ADDITIONS
Net investment income (loss)
Interest and dividends $ 94,123,219 $ 77,130,443
Net increase (decrease) in fair value of investments 871,446,428 (256,368,362 )
Net investment income (loss) 965,569,647 (179,237,919 )
Contributions and transfers in
Participant contributions 666,562,569 602,090,250
Employer contributions 213,079,218 193,289,956
Transfers in 9,807,433 2,281,507
Total contributions and transfers in 889,449,220 797,661,713
Total additions 1,855,018,867 618,423,794
DEDUCTIONS
Benefits paid to participants 482,895,341 381,181,636
INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS 1,372,123,526 237,242,158
NET ASSETS AVAILABLE FOR BENEFITS
Beginning of year 7,326,531,250 7,089,289,092
End of year $ 8,698,654,776 $ 7,326,531,250

See accompanying notes.

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

NOTES TO FINANCIAL STATEMENTS

NOTE 1: DESCRIPTION OF THE PLAN AND SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

The Microsoft Corporation Savings Plus 401(k) Plan (the “Plan”), a defined contribution plan, is sponsored by Microsoft Corporation (the “Company” or “Microsoft”). Participating employers included in the Plan are Microsoft Corporation; Microsoft Licensing, GP; MOL Corporation; Vexcel Corporation; Microsoft Online, Inc; Microsoft Payments, Inc; Microsoft Open Technologies, Inc; and Twisted Pixel Games. These entities represent Microsoft or wholly owned subsidiaries of Microsoft. MSNBC Interactive News, LLC (“MSNBC”) was included in the Plan through July 13, 2012 at which point it was no longer considered a participating employer due to Microsoft’s divestiture of its 50% share in the MSNBC joint venture. No forced distributions of former MSNBC employee assets has occurred but these former employees are no longer eligible to participate in the Plan. The Plan year is January 1 through December 31. The Plan is administered by the 401(k) Administrative Committee and subject to the provisions of the Employee Retirement Income Security Act of 1974. The information below summarizes certain aspects of the Plan. This is a summary only; Plan participants should refer to the Plan Document for more complete information.

Accounting Principles : The financial statements and accompanying notes are prepared in accordance with accounting principles generally accepted in the United States of America.

Eligibility: Regular and retail services employees of participating employers who are on U.S. payroll and have reached age 18 may enroll in the Plan at any time.

Eligible Compensation: Eligible compensation includes wages, salary, bonuses, commissions, and overtime. Compensation does not include, for example, items such as stock awards, any amounts realized on the exercise of Microsoft stock options, reimbursements or other expense allowances, fringe benefits (cash and noncash), moving expenses, deferred compensation, welfare plan benefits including health or life insurance, or any bonuses or expense allowances which are not based upon performance as an employee.

Recasting of Certain Prior Period Information: We have recast certain prior period amounts within Note 6 to conform to the current year presentation.

Contributions:

Participant Contributions

Participants may contribute to the Plan on a pre-tax basis and/or on an after-tax Roth basis from 1 percent to 50 percent of their eligible compensation per pay period, subject to regulatory limitations. Participants may also contribute from 1 percent to 7 percent of their eligible compensation per pay period in after-tax non-Roth contributions to the Plan. Participants reaching age 50 or older by the end of the Plan year and who are making the maximum regular employee pre-tax and/or after-tax Roth elective contributions to the Plan may also elect to make additional catch-up contributions to the Plan on a pre-tax and/or after-tax Roth basis of 1 percent to 75 percent of their eligible compensation per pay period. Participant contributions may be suspended at any time and reinstated at any subsequent entry date.

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Participants may also choose to make rollover contributions to the Plan of amounts received from an eligible employer plan maintained by another company, including direct rollovers from such plans.

Employer Contributions

The Company makes a pre-tax matching contribution of $0.50 for every $1.00 (up to a 6 percent combined pre-tax and after-tax Roth contribution rate) contributed. Participants are matched only on pre-tax and after-tax Roth contributions and do not receive a match on after-tax non-Roth contributions or catch-up contributions. The maximum Company match is 3 percent of the participant’s eligible compensation, subject to regulatory limitations.

Sentillion Inc. and Skype Inc. were acquired by the Company in 2010 and 2011, respectively, and their plan assets merged within the Plan during 2012. The merged amounts are included as transfers in on the Statement of Changes in Net Assets Available for Benefits.

ESOP Feature: The Plan includes an Employee Stock Ownership Plan (“ESOP”) feature for the portion of the Plan designed to invest primarily in Microsoft Common Stock. The ESOP feature allows participants to either reinvest their cash dividends earned on Microsoft Common Stock or receive those dividends in cash. Amounts invested in Microsoft Common Stock are treated as being held through the ESOP, provided that at the time such amounts were received by the Plan (e.g., through contributions or transfers), the participants whose Plan accounts received such assets were employed by Microsoft or a corporation that is part of the same controlled group of corporations as Microsoft.

Participants who are not employed by an employer that is established as a corporation that is part of the same controlled group of corporations as Microsoft may not participate in the ESOP but may invest their contributions and earnings in Microsoft Common Stock. Employees that are not eligible to participate in the ESOP feature are not eligible to receive dividends on Microsoft Common Stock in cash paid directly to them. Instead, dividends paid on contributions invested in Microsoft Common Stock and the earnings that accumulate on those contributions will automatically be reinvested in Microsoft Common Stock.

Participant Accounts: Each participant’s account is credited with the allocation of (a) the Participant elective deferrals (i.e. participant contributions) and the Company’s matching contribution (i.e. employer contributions) and (b) Plan earnings. Allocations are based on participant earnings or account balances, as defined. All amounts in participant accounts are participant-directed. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s vested account.

Vesting: Participants are fully vested in all Plan accounts at all times.

Distributions: Active participants may take a withdrawal from the Plan in the event of a financial hardship. A hardship withdrawal is limited to the following participant account types: pre-tax and after-tax rollover accounts, after-tax accounts, pre-tax contributions, and pre-tax catch-up contributions. A hardship withdrawal will result in a six-month suspension of contributions to the Plan. Active participants may withdraw all, or any portion, of the balance in their accounts after reaching age 59 1 / 2 . Distributions may also occur if the participant terminates employment, retires, becomes permanently disabled, or dies. Distributions of investments in Microsoft Common Stock may be taken in the form of Microsoft Common Stock or cash.

Administrative Expenses: Plan administrative expenses are currently paid by the Company to the extent not offset by expense reimbursements. Certain mutual funds offered in the Plan pay reimbursements back to Fidelity Management Trust Company (“Fidelity”), the Plan trustee. These reimbursements are in turn used to pay the trustee for Plan administrative expenses.

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Participants are responsible for fees associated with certain transactions such as loan originations and maintenance, Domestic Relations Order qualifications, and dividend checks. Participants also pay commission charges to Fidelity for buying and selling Microsoft Common Stock within the Plan.

Plan Amendment and Termination: Although it has not expressed an interest to do so, the Company has the right to modify, amend, suspend, or terminate the Plan at any time and for any reason. If the Plan is terminated, all account balances will be distributed in the form and manner determined by the Plan Administrator.

Risks and Uncertainties: The Plan utilizes various investment instruments, including common stock, mutual funds, common collective trusts, and separately managed accounts. Investment securities, in general, are exposed to various risks, such as interest rate, credit, and overall market volatility. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect the amounts reported in the financial statements.

Use of Estimates: The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and changes therein. Actual results could differ from these estimates. The Plan has no contingent assets or liabilities.

Valuation of Investments: Investments are recorded at fair value. Security transactions are accounted for as of the trade date. Dividend income is recorded on the ex-dividend date, and interest income is recorded as earned.

Participant Loans: Participant loans are recorded at principle balance and participant loans deemed distributed due to default are included in Benefits paid to participants on the Statement of Changes in Net Assets Available for Benefits.

Other Receivables and Payables: Other receivables consist primarily of unsettled trades and accrued interest. Other payables consist primarily of unsettled trades.

Recently Adopted Accounting Guidance: On January 1, 2012, we adopted guidance issued by the Financial Accounting Standards Board (“FASB”) on accounting and disclosure requirements related to fair value measurements. The guidance limits the highest-and-best-use measure to nonfinancial assets, permits certain financial assets and liabilities with offsetting positions in market or counterparty credit risks to be measured at a net basis, and provides guidance on the applicability of premiums and discounts. Additionally, the guidance expands the disclosures on Level 3 inputs by requiring quantitative disclosure of the unobservable inputs and assumptions, as well as description of the valuation processes and the sensitivity of the fair value to changes in unobservable inputs. Adoption of this new guidance did not have a material impact on the Plan’s financial statements.

Recent Accounting Guidance Not Yet Adopted: In December 2011, the FASB issued guidance enhancing disclosure requirements about the nature of an entity’s right to offset and related arrangements associated with its financial instruments and derivative instruments. The new guidance requires the disclosure of the gross amounts subject to rights of set-off, amounts offset in accordance with the accounting standards followed, and the related net exposure. In January 2013, the FASB clarified that the scope of this guidance applies to

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derivatives, including bifurcated embedded derivatives, repurchase agreements and reverse repurchase agreements, and securities borrowing and securities lending transactions that are either offset or subject to an enforceable master netting arrangement, or similar agreements. The new guidance will be effective for the Plan beginning January 1, 2013. Other than requiring additional disclosures, we do not anticipate material impacts on the Plan’ financial statements upon adoption.

NOTE 2: INVESTMENTS

All contributions to the Plan are held and invested by Fidelity, trustee of the Plan. Participants are responsible for deciding in which of the investment options their Plan assets will be invested and can choose any of the investments offered. Full descriptions of the investments can be found in the prospectus (for mutual funds and Microsoft Common Stock) or the investment fact sheet (for all investments except Microsoft Common Stock).

The balances of investments held by the Trustee, other than separately managed accounts, which represented 5 percent or more of net assets available for benefits as of either December 31, 2012 or December 31, 2011, are as follows:

December 31, 2012 2011
Fidelity Growth Company Fund $ 859,265,382 $ 685,010,872
Fidelity Contrafund $ 820,684,785 $ 689,204,966
Microsoft Common Stock $ 692,033,346 $ 685,134,023
Vanguard Institutional Index Fund $ 674,165,401 $ 563,426,564
BlackRock LifePath Index 2030 $ 482,225,805 *
BlackRock LifePath Index 2040 $ 468,022,857 *
Fidelity Institutional Money Market Fund * $ 381,175,900
  • Balance was less than 5 percent of the Plan’s net assets available for benefits

During 2012 and 2011, the net appreciation (depreciation) in the fair value of investments was as follows:

Year Ended December 31, 2012 2011
Mutual funds $ 391,597,100 $ (34,813,346 )
Separately managed accounts 355,236,000 (147,857,329 )
Collective trusts 86,520,645 (8,193,648 )
Microsoft Common Stock 21,058,957 (49,785,122 )
Brokerage accounts 17,033,726 (15,718,917 )
Total net appreciation (depreciation) in fair value of investments $ 871,446,428 $ (256,368,362 )

NOTE 3: PARTICIPANT LOANS

Loans are available in $100 increments from $1,000 to $49,500. The maximum loan amount is the lesser of (a) 50 percent of the vested account balance, reduced by the current outstanding balance of all other loans from the Plan; or (b) $50,000, reduced by: (1) the outstanding balance of all other outstanding loans, and (2) the excess (if any) of all Plan loans during the previous 12 months over the current outstanding balance of Plan loans. Participants are limited to two loans – one Primary Residence Loan and one General Loan. The term of a Primary Residence Loan may not exceed 15 years or be less than 12 months from the first payment date. The term of a General Loan may not exceed five years or be less than 12 months from the first payment date.

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The interest rate for loans is 1 percent plus the prime rate on corporate loans. The range of interest rates for outstanding Primary Residence Loans as of December 31, 2012 was 4.25 percent to 9.44 percent, maturing at various dates through February 2028. The range of interest rates for outstanding General Loans as of December 31, 2012 was 4.25 percent to 9.25 percent, maturing at various dates through January 2018.

Loan repayments are made through after-tax, semi-monthly payroll deductions. Employees who are terminated have 60 days to elect to continue to make loan repayments or payoff the loan in full. Failure of the employee to establish a loan repayment service or payoff the loan in full during this 60-day window results in a default of the loan, which is taxable income to the participant.

NOTE 4: TAX STATUS

The Internal Revenue Service (“IRS”) has determined and informed the Plan by a letter dated August 6, 2010, that the Plan is qualified as a tax-exempt plan under the appropriate sections of the Internal Revenue Code (“IRC”). The determination letter covered Plan amendments adopted from November 30, 2007 through December 18, 2009, and the trust agreement adopted on June 2, 2004. The Plan has been amended since receiving the determination letter; however, the Plan administrator believes that the Plan is designed and currently being operated in compliance with the applicable requirements of the IRC. Therefore, the Plan is tax-exempt as of the financial statement date and, accordingly, no provision for income taxes has been recorded.

Accounting principles generally accepted in the United States of America (“GAAP”) require Plan management to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the Plan has taken an uncertain position that more likely than not would not be sustained upon examination by the IRS. As the Plan is tax-exempt, the Plan administrator has concluded that as of December 31, 2012 and 2011, there are no uncertain tax positions taken or expected to be taken that would require recognition of a liability (or asset) or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress. We continue to be subject to examination by the IRS for tax years 2004 to 2012.

NOTE 5: PARTY-IN-INTEREST TRANSACTIONS

Certain Plan investments include shares of mutual funds that are managed by affiliates of Fidelity. Fidelity is the trustee and third party administrator as defined by the Plan and, therefore, these transactions qualify as party-in-interest transactions.

Transactions in Microsoft Common Stock also qualify as party-in-interest transactions. At December 31, 2012 and December 31, 2011, the Plan held 25,909,439 shares of Microsoft Common Stock valued at $692,033,346 and 26,391,912 shares of Microsoft Common Stock valued at $685,134,023, respectively. During the years ended December 31, 2012 and December 31, 2011, the Plan recorded Microsoft Common Stock dividend income of $20,995,835 and $17,999,224, respectively.

NOTE 6: FINANCIAL INSTRUMENTS

The Plan accounts for certain assets and liabilities at fair value. The hierarchy below lists three levels of fair value based on the extent to which inputs used in measuring fair value are observable in the market. The Plan categorizes each of our fair value measurements in one of these three levels based on the lowest level input that is significant to the fair value measurement in its entirety. These levels are:

• Level 1 – inputs are based upon unadjusted quoted prices for identical instruments traded in active markets. Our Level 1 non-derivative investments primarily include U.S. treasuries, domestic and international equities, and exchange-traded mutual funds. Our Level 1 derivative assets include those traded on exchanges.

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• Level 2 – inputs are based upon quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, and model-based valuation techniques (e.g. the Black-Scholes model) for which all significant inputs are observable in the market or can be corroborated by observable market data for substantially the full term of the assets or liabilities. Where applicable, these models project future cash flows and discount the future amounts to a present value using market-based observable inputs including interest rate curves, foreign exchange rates, and forward and spot prices for currencies and commodities. Our Collective Trusts are valued using the net asset value provided by the trustee in order to estimate fair value. The net asset value is based on the fair value of the underlying investments held by the fund less its liabilities. Were the Plan to initiate a full redemption of the Collective Trust, the investment advisor reserves the right to temporarily delay withdrawal from the trust in order to ensure that securities liquidations will be carried out in an orderly business manner. Our Level 2 non-derivative investments consist primarily of Collective Trusts, and mutual funds in our separately managed accounts. Our Level 2 derivative assets and liabilities primarily include certain over-the-counter futures contracts.

• Level 3 – inputs are generally unobservable and typically reflect management’s estimates of assumptions that market participants would use in pricing the asset or liability. The fair values are therefore determined using model-based techniques that include option pricing models, discounted cash flow models, and similar techniques. At December 31, 2012 and December 31, 2011, the Plan did not hold any financial instruments in Level 3.

Financial Instruments Measured at Fair Value

December 31, 2012 Level 1 Level 2
Mutual funds
Fidelity Contrafund (primarily equity-based) $ 820,684,785 0 $ 820,684,785
Fidelity Growth Company Fund (primarily equity-based) 859,265,382 0 859,265,382
Fidelity Institutional Money Market Fund 402,466,358 0 402,466,358
PIMCO Inflation Response Multi-Asset Response (primarily bond-based) 11,408,472 0 11,408,472
Vanguard Growth Index Fund (primarily equity-based) 188,937,013 0 188,937,013
Vanguard Institutional Index Fund Plus (primarily equity-based) 674,165,401 0 674,165,401
Vanguard Short-Term Bond Index Fund (primarily bond-based) 289,421,388 0 289,421,388
Vanguard Small-Cap Growth Index Fund (primarily equity-based) 388,738,495 0 388,738,495
Vanguard Value Index Fund Institutional (primarily equity-based) 322,016,666 0 322,016,666
Microsoft Common Stock 692,033,346 0 692,033,346
Collective trusts – LifePath Funds 0 1,323,905,299 1,323,905,299
Separately managed accounts
Artisan Mid Cap Account
Common stock 590,570,579 0 590,570,579
Other 27,569,058 0 27,569,058
Oakmark Equity & Income Account
Cash 204,392 0 204,392
PIMCO Total Return Account
Mutual funds 294,323 540,366,741 540,661,064
Russell International Growth Account
Common stock 517,157,689 0 517,157,689
Other 17,296,400 (77,890 ) 17,218,510
Russell International Value Account
Common stock 326,022,723 0 326,022,723
Other 17,344,093 1,964,876 19,308,969
Russell Small/Mid Cap Value Account
Common stock 319,512,672 0 319,512,672
Other 9,351,272 0 9,351,272
Brokerage accounts
Mutual funds 123,297,146 5,840,606 129,137,752
Certificates of deposit 0 2,998,476 2,998,476
U.S Government notes and bonds 1,036,005 10,667 1,046,672
Corporate notes and bonds 0 1,067,114 1,067,114
Common & preferred stock 141,442,449 888,072 142,330,521
Derivatives 0 788,048 788,048
Total $ 6,740,236,107 $ 1,877,752,009 $ 8,617,988,116

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December 31, 2011 Level 1 Level 2
Mutual funds
Fidelity Contrafund (primarily equity-based) $ 689,204,965 $ 0 $ 689,204,965
Fidelity Growth Company Fund (primarily equity-based) 685,010,872 0 685,010,872
Fidelity Institutional Money Market Fund 381,175,900 0 381,175,900
Vanguard Growth Index Fund (primarily equity-based) 137,532,539 0 137,532,539
Vanguard Institutional Index Fund Plus (primarily equity-based) 563,426,564 0 563,426,564
Vanguard Short-Term Bond Index Fund (primarily bond-based) 276,184,242 0 276,184,242
Vanguard Small-Cap Growth Index Fund (primarily equity-based) 309,679,346 0 309,679,346
Vanguard Value Index Fund Institutional (primarily equity-based) 267,373,880 0 267,373,880
Microsoft Common Stock 685,134,023 0 685,134,023
Collective trusts – LifePath Funds 0 557,834,174 557,834,174
Separately managed accounts
Artisan Mid Cap Account
Common stock 480,950,412 0 480,950,412
Other 24,999,878 0 24,999,878
Oakmark Equity & Income Account
Common stock 324,173,514 0 324,173,514
Other 104,477,320 50,343,951 154,821,271
PIMCO Total Return Account
Mutual funds 463,590 435,838,287 436,301,877
Russell International Growth Account
Common stock 431,666,551 0 431,666,551
Other 15,089,202 (155,264 ) 14,933,938
Russell International Value Account
Common stock 280,707,681 0 280,707,681
Other 10,546,393 5,408,793 15,955,186
Russell Small/Mid Cap Value Account
Common stock 280,474,898 0 280,474,898
Other 13,134,413 0 13,134,413
Brokerage accounts
Mutual funds 105,781,651 2,665,597 108,447,248
Certificates of deposit 0 2,989,855 2,989,855
U.S Government notes and bonds 1,137,653 16,101 1,153,754
Corporate notes and bonds 0 705,624 705,624
Municipal bonds 0 5,751 5,751
Common & preferred stock 110,262,507 530,806 110,793,313
Derivatives 0 733,704 733,704
Total $ 6,178,587,994 $ 1,056,917,379 $ 7,235,505,373

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No significant transfers occurred between Level 1 and Level 2 for the years ended December 31, 2012 and 2011.

NOTE 7: DERIVATIVES

Investment managers acting under the Plan use derivative instruments to manage risks related to foreign currencies and interest rates; to enhance investment returns for the Plan; and to facilitate Plan portfolio diversification. Our Plan derivatives consist of over-the-counter foreign exchange forward contracts and exchange-traded futures contracts, as well as put and call options, for which no hedge accounting treatment is applied. The related notional amounts, gross fair values and amounts recognized in earnings were immaterial as of and for the years ended December 31, 2012 and 2011. These derivative instruments are a component of the “Other” caption of separately managed accounts in Note 6.

NOTE 8: RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500

The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500 which is the annual return/report for the Microsoft Corporation Savings Plus 401(k) Plan:

December 31, — Net assets available for benefits per the financial statements 2012 — $ 8,698,654,776 $ 7,326,531,250
Less benefits payable (2,548,528 ) (1,911,951 )
Net assets available for benefits per the Form 5500 $ 8,696,106,248 $ 7,324,619,299

The following is a reconciliation of benefits paid to participants per the financial statements to the Form 5500:

December 31, 2012 2011
Benefits paid to the participants per the financial statements $ 482,895,341 $ 381,181,636
Plus change in benefits payable at year end 636,577 338,619
Benefits paid to the participants per the Form 5500 $ 483,531,918 $ 381,520,255

Benefits payable are recorded on the Form 5500 for payments to participants who requested payment by December 31 but had not been paid as of that date.

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

EMPLOYER ID 91-1144442, PLAN 001

SUPPLEMENTAL SCHEDULE OF ASSETS HELD AT END OF YEAR

AS OF DECEMBER 31, 2012

Identity of Issue, borrower, lessor, or similar party
BROKERAGE ACCOUNTS
BrokerageLink 277,368,583 277,368,583
COMMON COLLECTIVE TRUSTS
BlackRock LifePath Index 2020 16,936,869 191,894,722
BlackRock LifePath Index 2030 41,678,981 482,225,805
BlackRock LifePath Index 2040 39,797,862 468,022,857
BlackRock LifePath Index 2050 10,081,047 120,166,084
BlackRock LifePath Index Retirement 5,554,178 61,595,831
EMPLOYER STOCK
Microsoft Common Stock * 25,909,439 692,033,346
MUTUAL FUNDS
Fidelity Contrafund * 10,588,115 820,684,785
Fidelity Growth Company Fund * 9,211,679 859,265,382
Fidelity Institutional Money Market Fund * 402,466,358 402,466,358
PIMCO Inflation Response 1,115,198 11,408,472
Vanguard Growth Index Fund 5,156,578 188,937,013
Vanguard Institutional Index Fund 5,164,831 674,165,401
Vanguard Short-Term Bond Index Fund 27,226,847 289,421,388
Vanguard Small-Cap Growth Index Fund 15,506,123 388,738,495
Vanguard Value Index Fund 14,043,466 322,016,666
SEPARATELY MANAGED ACCOUNTS
Artisan Mid Cap Account
Mutual Funds
SSBK GOVT STIF FUND 30,068,921 27,425,559
Publicly-traded Common Stock
AGILENT TECHNOLOGIES INC 253,400 10,399,536
ALEXION PHARMACEUTICALS 80,800 7,579,848
ALTERA CORP 238,100 8,200,164
AMETEK INC NEW 125,700 4,722,549
ANSYS INC 98,200 6,612,788
APPLIED MATERIALS INC 716,500 8,196,760
ARES CAPITAL CORP 426,700 7,467,250
ARIAD PHARMACEUTICALS INC 337,100 6,465,578
ARM HOLDINGS PLC SPON ADR 439,700 16,633,851
ATHENAHEALTH INC 158,100 11,612,445
BORGWARNER INC 139,349 9,980,175
CABOT OIL & GAS CORP 102,700 5,108,298

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CAMERON INTL CORP 112,500 6,351,750
CEPHEID INC 334,100 11,295,921
CERNER CORP 204,806 15,901,138
CHART INDUSTRIES INC 95,800 6,386,986
CHIPOTLE MEXICAN GRILL 23,891 7,106,617
CIGNA CORP 232,100 12,408,066
CITRIX SYSTEMS INC 73,300 4,819,475
COACH INC 168,100 9,331,231
CONCUR TECHNOLOGIES INC 185,500 12,524,960
CORE LABORATORIES NV 39,900 4,367,894
CUMMINS INC 17,100 1,852,785
DAVITA HEALTHCARE PARTNER 77,200 8,532,916
DISCOVER FIN SVCS 505,000 19,538,450
DRESSER RAND GROUP INC 166,825 9,365,556
FLIR SYSTEMS INC 188,400 4,203,204
FOSSIL INC 128,200 11,935,420
HDFC BANK LTD SPON ADR 75,500 3,074,360
HMS HOLDINGS CORP 100,200 2,597,184
IHS INC CL A 220,700 21,187,200
ILLUMINA INC 67,400 3,746,766
INCYTE CORP 180,700 3,001,427
INTUITIVE SURGICAL INC 6,189 3,034,900
IPG PHOTONICS CORP 200,400 13,356,660
ISIS PHARMACEUTICALS CO 225,400 2,357,684
LIMITED BRANDS INC 205,400 9,666,124
LINKEDIN CORP CL A 81,600 9,369,312
LKQ CORP 631,262 13,319,628
LULULEMON ATHLETICA INC 103,200 7,866,936
MEAD JOHNSON NUTRITION CO 103,100 6,824,189
MERCADOLIBRE INC 71,800 5,649,152
METTLER-TOLEDO INTL INC 66,900 12,931,770
MICROS SYSTEMS INC 94,300 4,002,092
NOBLE ENERGY INC 103,400 10,519,916
OCEANEERING INTL INC 115,300 6,201,987
ONYX PHARMACEUTICALS INC 37,100 2,802,163
OWENS CORNING INC 266,400 9,854,136
PALL CORP 100,000 6,026,000
PALO ALTO NETWORKS INC 24,700 1,321,944
PRECISION CASTPARTS CORP 47,878 9,069,051
RALPH LAUREN CORP 79,700 11,948,624
RED HAT INC 155,405 8,230,249
REGENERON PHARMACEUTICALS 144,400 24,702,508
ROCKWELL AUTOMATION INC 114,800 9,642,052
ROPER INDUSTRIES INC 43,640 4,864,987
SALESFORCE.COM INC 79,100 13,296,710
SERVICENOW INC 41,500 1,246,245
STARWOOD HTLS & RESRT WRL 112,200 6,435,792
TERADATA CORP 160,200 9,914,778
TESLA MOTORS INC 153,300 5,192,271
TRACTOR SUPPLY CO. 108,100 9,551,716

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TRIMBLE NAVIGATION LTD — ULTA SALON COSMETICS & FR 257,623 — 96,600 15,400,703 — 9,491,916
UNDER ARMOUR INC CL A 91,000 4,416,230
URBAN OUTFITTERS 55,800 2,196,288
VERISK ANALYTICS INC 303,000 15,453,000
VMWARE INC CL A 124,500 11,720,430
WILLIAMS-SONOMA INC 83,900 3,672,303
WOODWARD INC 131,800 5,025,534
WORKDAY INC 29,900 1,629,550
Artisan Mid Cap Account Total 618,139,637
Oakmark Equity & Income Account Total 204,392 204,392
PIMCO Total Return Account
Mutual Funds
HIGH YIELD PORTFOLIO INST 1,323,230 10,360,887
PAPS SR FLOATNG RATE PORT 85,557 864,124
PIMCO ASSET BACK SECS POR 1,004,454 11,641,626
PIMCO EMMERG MKTS FD INST 1,578,741 16,939,892
PIMCO INTL PORT FUND(UNLI 9,070,928 42,996,197
PIMCO INV GRD PORT(UNLST) 7,284,313 82,458,426
PIMCO MTG PORT INSTL CL(U 15,173,541 166,302,015
PIMCO MUNI SECTR PORT INS 628,046 5,633,575
PIMCO REAL RETRN BD FD IN 7,594,042 74,801,318
PIMCO SHORT TERM PORT INS 1,136,582 10,786,162
PIMCO SHORT TM FLT NAV PO 3,792,672 37,977,822
PIMCO US GOVT SECTOR PORT 8,478,610 79,614,146
SSBK GOVT STIF FUND 284,938 284,874
PIMCO Total Return Account Total 540,661,064
Russell International Growth Account
Derivative contracts – Futures
CAC40 10 EURO FUT JAN13 C 20 600
DAX INDEX FUT MAR13 GXH3 4 3,012
EURO STOXX 50 FUT MAR13 V 77 (9,828 )
FTSE 100 IDX FUT MAR13 Z 29 (23,512 )
FTSE/MIB INX FUT MAR13 ST 3 3,745
HANG SENG INDEX FUT JAN13 4 2,175
IBEX 35 INDEX FUT JAN13 I 3 1,954
S&P/TSX 60 IX FUT MAR13 P 10 19,570
SPI 200 FUT MAR13 XPH3 10 9,227
TOPIX INDX FUT MAR13 TPH3 27 219,138
Forward Currency Contract
CURRENCY CONTRACT – AUD 1,368,086 (15,995 )
CURRENCY CONTRACT – CAD 1,848,882 (14,120 )
CURRENCY CONTRACT – EUR 5,165,771 98,160
CURRENCY CONTRACT – JPY 299,206,031 (158,554 )
CURRENCY CONTRACT – USD (73,662,046 ) 12,619
Mutual Funds
SSBK GOVT STIF FUND 18,022,295 18,020,493

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Publicly-traded Common Stock — AAC TECH HLDGS INC 69,000 241,251
AAREAL BANK AG 15,147 314,094
ABB LTD (REG) (SWIT) 113,309 2,322,794
ABERDEEN ASSET MGMT PLC 252,515 1,535,994
ABSA GROUP LTD 32,253 623,945
ADIDAS AG 39,366 3,498,544
AFREN PLC 256,374 545,988
AFRICAN MINERALS LTD (UK) 127,110 656,102
AGILE PROPERTY HLDGS LTD 1,194,000 1,679,119
AIA GROUP LTD 1,081,024 4,219,018
AIRASIA BHD 1,318,325 1,181,233
AIXTRON SE 111,651 1,308,531
ALMACENES EXITO SA 72,789 1,462,371
AMADEUS IT HLDGS SA CL A 269,982 6,788,710
AMERICA MOVIL SPON ADR SE 19,100 441,974
AMVIG HOLDINGS LIMITED 3,242,330 1,183,844
ANGLO AMER PLC (UK) 51,969 1,598,935
ANHANGUERA EDU PARTICIPAT 70,426 1,189,073
ANHEUSER BUSCH INBEV NV 19,673 1,707,095
ANTOFAGASTA PLC 36,510 785,247
ARCELIK AS 56,637 371,453
ARM HOLDINGS PLC 457,690 5,710,038
ASM PACIFIC TECH LTD 130,375 1,586,195
ASML HOLDING NV (EURO) 7,145 452,690
ASOS PLC 21,740 950,341
ASPEN PHARMACARE HLDGS PL 27,109 540,421
ASTELLAS PHARMA INC 23,500 1,051,105
AURIZON HOLDINGS LTD 210,630 818,045
AXA SA 146,430 2,580,292
AXIATA GROUP BERHAD 189,100 407,511
AYALA LAND INC 2,642,145 1,702,015
B2GOLD CORPORATION 173,290 620,199
BAIDU INC SPON ADR 13,372 1,341,078
BANCO DO BRASIL SA 38,100 476,366
BANCO SANTANDER BRASIL SA 87,125 646,845
BANCO SANTANDER SA (SPAIN 284,215 2,288,413
BANK CENTRAL ASIA 579,545 547,223
BANK OF NOVA SCOTIA(USD) 32,782 1,916,215
BANK RAKYAT INDONESIA TBK 613,500 442,420
BARLOWORLD LTD 40,177 414,684
BARRICK GOLD CORP (USA) 44,190 1,547,092
BAYER AG 130,283 12,362,711
BEBIDAS DAS AM(CIA) PFD S 13,400 569,140
BEIERSDORF AG 76,629 6,258,942
BEIJING ENTERPRISES HLDGS 86,000 560,326
BELLE INTERNATION HLDGS 1,097,000 2,380,583
BG GROUP PLC 203,721 3,350,713
BHP BILLITON LTD 53,049 2,043,792
BHP BILLITON SPON ADR(AUS 17,728 1,390,584

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BIC 11,406 1,359,799
BMW AG (BAYER MTR WKS) (G 4,994 480,742
BR MALLS PARTICIPACOES SA 104,650 1,381,022
BR PROPERTIES SA 125,255 1,559,952
BRAZIL PHARMA SA 65,587 461,271
BRENNTAG AG 9,271 1,216,750
BRIDGESTONE CORP 103,960 2,687,948
BS FINANCIAL GROUP INC 41,400 527,406
BURBERRY GROUP PLC 78,052 1,564,608
CAE INC 119,635 1,211,144
CAMECO INC 133,735 2,650,747
CANAD NATL RAIL CO (USD) 63,620 5,790,056
CANON INC 42,300 1,664,951
CATAMARAN CORP 24,619 1,159,801
CEMEX SAB DE CV SPON ADR 63,300 624,771
CEMIG NON-VTG PREF SPON A — 25,959
CETIP SA MERCADOS ORGANIZ 41,600 517,255
CHINA CONSTRUCTION BANK H 1,355,450 1,087,739
CHINA LONGYUAN POWER GROU 2,811,000 1,943,911
CHINA MERCHANTS BANK CO H 117,000 258,127
CHINA MOBILE LIMITED 68,000 791,784
CHINA RESOURCES LAND LTD 762,000 2,074,379
CHINA UNICOM (HONG KONG) 1,372,000 2,198,500
CHINATRUST FI(JPMS)(CWT)3 971,823 573,431
CHIPBOND TECH WT 11/21/22 151,500 297,631
CHRISTIAN HANSEN HLDGS SA 38,570 1,253,527
CLUB MEDITERRANEE SA 76,323 1,347,935
CNOOC LTD 415,000 898,443
COGNIZANT TECH SOLUT CL A 6,950 514,648
COLOPLAST AS CL B 15,220 744,534
COMPASS GROUP PLC 821,412 9,673,985
COPA HOLDINGS SA CL A 23,880 2,374,866
CORE LABORATORIES NV 7,610 831,849
COVIDIEN PLC 20,999 1,212,482
CP ALL PCL NVDR 270,370 406,306
CREDICORP LTD (USA) 9,670 1,417,235
CREDIT SUISSE GROUP AG 78,575 1,912,294
CSR CORP LTD H 469,000 409,044
CYBER AGENT INC 762 1,556,807
DAIICHI SANKYO CO LTD 58,700 895,728
DANONE NEW 78,333 5,159,960
DANSKE BK AS 69,558 1,177,082
DENSO CORP 228,400 7,837,862
DIAGEO PLC 77,334 2,244,923
DSV DE SAMMENSLUT VOGN 51,593 1,329,919
DUFRY GROUP 4,731 618,627
ECORODOVIAS INFRAEST E LO 43,400 366,701
ELAN CORP PLC ADR 53,457 545,796
ELECTROLUX AB SER B 69,479 1,821,605
ELEKTA AB SER B 118,636 1,849,825

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EMAAR PROPERTIES 333,600 340,594
ENI SPA 66,081 1,599,681
ESSILOR INTL SA(FRAN) 26,753 2,684,466
EXPERIAN PLC 116,926 1,861,416
FANUC CORPORATION 4,564 838,678
FENNER (JH) PLC 62,163 400,186
FIBRA UNO ADMINISTRACION 274,310 827,622
FINNING LTD 38,618 953,900
FIRST CASH FIN SRVS INC 7,100 352,302
FOMENTO ECONO MEX(FEMSA)S 5,910 595,137
FRESENIUS SE & CO KGAA 13,006 1,495,269
FRESNILLO PLC 49,048 1,471,616
GALAXY ENT GROUP LTD 126,000 493,378
GAZPROM O A O SPON ADR (U 72,625 687,033
GERDAU SA SPON ADR 53,740 483,123
GJENSIDIGE FORSIKRING ASA 74,404 1,062,962
GLAXOSMITHKLINE PLC 40,529 886,803
GN STORE NORDIC LTD 70,067 1,014,009
GOLDEN EAGLE RETAIL GROUP 275,250 677,573
GREATVIEW ASEPTIC PACK CO 2,193,240 1,185,635
GRIFOLS 49,853 1,734,579
GRUPO FINANCIERO BANORTE 107,800 695,939
GRUPO TELEVISA (CPO) SPON 32,700 869,166
GUDANG GARAM PT(DEMAT) 255,690 1,493,681
HDFC BANK LTD SPON ADR 61,575 2,507,334
HEINEKEN NV 84,849 5,652,460
HENGAN INTL GRP CO LTD 220,500 1,989,972
HENNES & MAURITZ AB B 165,217 5,703,577
HIWIN TECHNOLOGIES CORP 210,000 1,538,964
HOLCIM LTD (REG) 19,792 1,447,641
HON HAI PRECISI(CITI) CWT 205,000 627,026
HON HAI PRECISION IND CO 746,700 2,283,903
HSBC HLDGS PLC (UK REG) 909,456 9,557,079
HSBC HLDGS PLC SPON ADR 42,716 2,266,938
HYUNDAI GLOVIS CO LTD 7,751 1,625,055
HYUNDAI MOTOR CO 21,274 4,405,248
IBJ LEASING CO LTD 32,240 897,220
ICICI BANK LTD SPONS ADR 112,430 4,903,072
IMAX CORPORATION (USD) 18,200 409,136
IMPERIAL TOBACCO GROUP PL 44,114 1,700,515
INDOFOOD SUKSES MAKMR (DE 758,000 460,109
INDUSTRIAL & COM BK OF CH 2,803,000 1,989,008
INFINEON TECHNOLOGIES AG 112,676 911,546
ING GROEP NV CVA 574,341 5,352,954
INGENICO 18,620 1,056,831
INPEX CORP 945 4,990,333
INTACT FINL CORP 5,179 337,231
ITAU UNIBANCO HLDG SA SPO 154,719 2,570,531
ITAU UNIBANCO HOLDING SA 41,875 689,572
ITC LTD (UBS) (CWT) 05/02 90,400 472,555

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JAZZ PHARMA PLC 15,466 822,791
JERONIMO MARTINS & FILHO 61,470 1,184,605
JIANGXI COPPER CO LTD H 185,000 486,914
JULIUS BAER GRUPPE AG 146,898 5,192,382
KASIKORNBANK PCL NVDR 123,600 781,333
KB FIN GROUP INC ADR 7,800 284,985
KOMATSU LTD 82,100 2,069,676
KROTON EDUCACIONAL SA 17,100 386,264
KUEHNE & NAGEL INTL AG RE 18,160 2,184,005
LAWSON INC 48,300 3,272,592
LG CHEMICAL LTD 2,081 653,467
LI & FUNG LTD 3,198,000 5,644,367
LINDE AG 45,272 7,887,895
LOCALIZA RENT A CAR SA 18,500 338,828
LOTTOMATICA SPA 18,930 429,770
LUKOIL OIL CO SPONS ADR ( 12,428 824,440
LULULEMON ATHLETICA INC 5,600 426,888
LVMH 32,790 6,007,425
M3 INC 821 1,305,867
MAGNIT OJSC (USD) 300 47,391
MAGNIT OJSC GDR REGS 39,184 1,571,278
MAIL.RU GROUP GDR 144A 15,078 520,191
MANULIFE FIN CORP (USD) 170,176 2,312,692
MARCOPOLO SA (PN) 74,300 475,919
MARUTI SUZKI(UBSAG)(CWT)2 24,300 659,951
MEDIATEK INC (UBS) (ELN) 36,100 401,801
MELLANOX TECH LTD (USA) 10,460 621,115
METHANEX CORP 63,025 2,007,271
METROPOLITAN BANK & TR CO 288,268 716,107
MICHAEL KORS HOLDINGS LTD 16,110 822,093
MILLICOM INTL CELL SA SDR 16,700 1,444,492
MONOTARO CO LTD 29,780 957,662
MTN GROUP LTD 29,778 623,836
MULTIPLUS SA 20,970 488,737
NAGACORP LTD 405,325 245,783
NASPERS LTD N SHS 7,327 469,481
NATIONAL GRID PLC 135,168 1,575,419
NESTLE SA (REG) 169,383 11,037,257
NEW GOLD INC 30,270 335,048
NEW GOLD INC(US) 21,800 240,454
NEW ORIENTL ED&TECH GR IN 23,770 461,851
NEWCREST MINING LTD 60,851 1,401,570
NHN CORP 987 211,141
NICE SYSTEMS LTD SPON ADR 43,729 1,464,047
NINE DRAGONS PAPER (HLDGS 331,000 300,163
NOVO-NORDISK AS CL B 18,331 2,972,305
ODONTOPREV SA 104,990 550,204
OUTOTEC OYJ 42,076 2,353,154
OVERSEA-CHINESE BKG LTD 180,000 1,433,752
PACIFIC RUBIALES ENERGY 43,290 1,005,762

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PARTNERS GROUP HOLDING AG 5,601 1,293,316
PERNOD-RICARD 16,604 1,916,374
PETROBRAS SA SPONS ADR 41,300 804,111
PETROCHINA CO H SPON ADR 2,550 366,639
PHILIP MORRIS INTL INC 67,440 5,698,006
PING AN INSURANCE CO H 410,000 3,433,043
PIRELLI & CO 96,389 1,101,164
POSCO SPON ADR 7,300 611,728
PRADA SPA 238,900 2,279,318
PRUDENTIAL PLC 201,039 2,826,531
PTT PCL NVDR 53,700 582,437
QUALICORP SA 120,780 1,251,157
RAKUTEN INC (TOKYO) 181,800 1,419,608
RANDSTAD HOLDINGS NV 162,353 5,958,552
RECKITT BENCKISER GROUP P 26,806 1,689,111
RICHEMONT CIE FINANCIERE 39,182 3,058,651
RIO TINTO PLC (REGD) 36,277 2,069,333
RIO TINTO PLC SPON ADR 10,810 627,953
ROCHE HLDGS GENUSSSCHEINE 10,082 2,028,194
ROLLS-ROYCE HOLDINGS PLC 319,430 4,532,575
ROTORK PLC 10,720 443,189
SACI FALABELLA 79,352 815,482
SAFRAN (SOCIETE D APPLICA 66,440 2,858,499
SAIPEM SPA 16,085 622,080
SALVATORE FERRAGAMO ITAL 38,593 847,655
SAMSONITE INTL S.A. 531,435 1,095,665
SAMSUNG ELEC VTG GDR 144A 763 539,590
SAMSUNG ELEC VTG GDR REGS 3,679 2,601,772
SAMSUNG ELECTRONICS CO 4,331 6,217,740
SAMSUNG ENG CO LTD 1,230 194,854
SAMSUNG HEAVY INDS CO LTD 15,450 567,224
SANDS CHINA LTD 302,694 1,325,850
SAP AG 124,999 10,013,391
SBERBANK OF RUSSIA (USD) 270,368 822,290
SBERBANK RUSSIA GDR 144A 3,200 39,488
SBERBANK-SPONSORED ADR 86,680 1,066,164
SCHNEIDER ELECTRIC SA 79,650 5,764,498
SCOR SE 57,255 1,542,460
SEADRILL LTD (NORW) 10,960 400,912
SEMBCORP IND LTD 463,000 1,989,890
SEMEN INDONESIA PERSERO T 411,000 675,938
SENSATA TECH HOLDG BV 36,554 1,187,274
SHIN-ETSU CHEMICAL CO LTD 121,900 7,358,885
SHIONOGI & CO LTD 23,915 396,674
SHIP HEALTHCARE HLDGS INC 4,574 121,167
SHOPRITE HLDGS LTD 20,164 486,410
SIMPLO TECH (HSBC)(CWT) 6 41,410 208,012
SM INVESTMENTS CORP 55,090 1,183,375
SMC CORP 10,500 1,885,843
SOC QUIMICA Y MIN CH PFD 17,670 1,018,499

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SOFTBANK CORP — SOUTHERN COPPER CORP 55,000 — 13,000 1,993,421 — 492,180
STANDARD CHARTERED PLC (U 515,069 13,165,535
SUGI HOLDINGS CO LTD 34,175 1,199,192
SUNCOR ENRGY INC 95,945 3,161,349
SYNGENTA AG (SWIT) 2,614 1,047,715
TAIHEIYO CEMENT CORP 697,000 1,898,678
TAIWAN SEMIC MFG CO SP AD 533,055 9,147,224
TATA MOTORS LTD SPON ADR 24,270 697,034
TECHNIP SA 7,877 902,897
TELECITY GROUP PLC 116,787 1,492,106
TELENOR AS 192,851 3,893,281
TELSTRA CORP LTD 211,946 961,817
TEMENOS GROUP AG 28,815 504,062
TENCENT HOLDINGS LIMITED 56,700 1,821,516
TEVA PHARMACEUTICAL IND A 62,594 2,337,260
TMK OAO GDR REGS — 5,102
TOYOTA MOTOR CORP 64,200 2,967,865
TRAKYA CAM SANAYII AS 178,238 243,785
TRANSURBAN GROUP STAPLED 283,276 1,837,079
TRICAN WELL SERVICE LTD 148,800 1,985,097
TRILOGY ENERGY CORP 28,113 823,719
TURKIYE GARANTI BANKASI A 113,399 588,623
ULTRA TECH (UBS) (CWT) 12 3,171 114,801
UNILEVER PLC ORD 62,829 2,414,800
VALE SA ADR 53,300 1,117,168
VANGUARD FTSE EMERGING MR 86,085 3,833,365
VEDANTA RESOURCES PLC 139,596 2,623,691
VIRGIN MEDIA INC 63,450 2,331,788
VISCOFAN SA 11,535 651,809
VOPAK (KON) NV 16,581 1,166,748
WANT WANT CHINA HLDGS LTD 679,547 936,357
WEICHAI POWER CO LTD H 33,000 146,461
WEIR GROUP PLC 43,987 1,342,633
WOODSIDE PETROLEUM LTD 51,490 1,811,557
WORLEYPARSONS LTD 63,597 1,542,748
XSTRATA PLC 179,187 3,082,541
Russell International Growth Account Total 534,376,199
Russell International Value Account
Derivative contracts – Futures
EURO STOXX 50 FUT MAR13 V (197 ) (1,943 )
FTSE 100 IDX FUT MAR13 Z 65 (46,312 )
HANG SENG INDEX FUT JAN13 4 2,181
MINI MSCI E M FUT MAR13 M 126 190,092
S&P 500 EMINI FUT MAR13 E 48 14,105
S&P/TSX 60 IX FUT MAR13 P 12 24,346
SPI 200 FUT MAR13 XPH3 10 4,637
TOPIX INDX FUT MAR13 TPH3 27 223,599
Forward Currency Contract

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CURRENCY CONTRACT – AUD 1,554,574 (14,538 )
CURRENCY CONTRACT – CAD 1,717,400 (13,051 )
CURRENCY CONTRACT – EUR 424,902 (830 )
CURRENCY CONTRACT – JPY 16,304,823 (1,170 )
CURRENCY CONTRACT – KRW 38,179,409 217
CURRENCY CONTRACT – USD (29,726,489 ) (128,843 )
Mutual Funds
SSBK GOVT STIF FUND 17,984,603 17,982,886
KINROSS GOLD CORP 38,200 371,304
Preferred stock
INTESA SANPAOLO SPA N/C R 105,449 148,513
PORSCHE AUTO HLDG NON-VTG 7,000 570,086
PROSIEBEN SAT.1 MEDIA AG 6,234 175,269
TELECOM ITALIA SPA RISP 635,186 500,952
VOLKSWAGEN AG PFD 3,205 728,270
Publicly-traded Common Stock
A P MOLLER – MAERSK A/S A 92 651,713
A P MOLLER – MAERSK S/A B 133 1,002,388
AAC TECH HLDGS INC 88,000 307,682
ABB LTD (REG) (SWIT) 131,152 2,688,569
ABERDEEN ASSET MGMT PLC 23,559 143,208
ACE LTD 10,025 799,995
ADECCO SA (UNITARY REGD) 12,742 669,246
ADVANCED INFO SVCS (LOC) 23,500 160,454
AEGON NV 308,724 1,957,224
AEGON NV (NY REGD) 81,013 521,724
AHOLD NV (KONINKLIJKE) 227,360 3,041,552
AISIN SEIKI CO LTD 11,400 350,547
AJINOMOTO CO INC 18,000 237,479
AKZO NOBEL NV 42,229 2,772,795
ALCATEL-LUCENT 123,177 163,075
ALLIANCE GLOBAL GROUP INC 1,735,900 708,565
ALPARGATAS SA (PN) 83,400 615,062
AMADA CO LTD 47,000 301,091
AMP LTD (POST RECON) 354,993 1,773,170
ANHEUSER BUSCH INBEV NV 10,600 919,799
ARCELIK AS 21,417 140,463
ASAHI GLASS CO LTD 35,000 258,152
ASTELLAS PHARMA INC 26,800 1,198,707
ASTRAZENECA PLC (UK) 14,391 680,167
ATOS 6,441 449,405
AUCKLAND INTL AIRPORT LTD 16,535 36,484
AUTOGRILL SPA 39,715 455,283
AVIVA PLC 258,996 1,569,308
AXA SA 110,428 1,945,889
BAE SYSTEMS PLC 636,267 3,482,144
BANCO ABC BRASIL SA PREF 54,200 373,775
BANCO BILBAO VIZ ARGENTAR 91,026 836,242
BANCO BRADES SA PFD SPON — 270
BANCO COMERCIAL PORTUGUE 1,155,445 114,385

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BANCO ESPIRITO SANTO (REG 240,558 284,184
BANCO POPULAR ESPANOL SA 590,652 456,864
BANCO SANTANDER BRASIL SA 53,332 395,955
BANCO SANTANDER SA (SPAIN 213,855 1,721,895
BANCO SANTDR SA UNIT 31,700 236,676
BANK POLSKA KASA OPIEKI 11,146 603,187
BANRO WT 03/31/17 144A 5,616 —
BARCLAYS BANK ADR 39,909 691,224
BARCLAYS PLC ORD 294,900 1,257,028
BARRICK GOLD CORP (USA) 25,600 896,256
BEBIDAS DAS AM(CIA) PFD S 13,053 554,401
BEBIDAS DAS AMERS (CIA) P 8,900 376,395
BEC WORLD PLC (LOC) 505,800 1,173,205
BEIJING ENTERPRISES HLDGS 43,500 283,421
BELGACOM SA 36,341 1,065,136
BHP BILLITON SPON ADR(AUS 9,900 776,556
BIM BIRLESIK MAGAZALAR AS 13,152 643,242
BNP PARIBAS (FRAN) 21,440 1,205,144
BOLIDEN AB (SWED) 11,260 211,412
BOLSA MEXICANA DE VALORES 253,000 637,868
BP PLC 675,893 4,664,110
BRIDGESTONE CORP 22,600 584,337
BRITISH SKY BROADCAST GRP 32,251 401,832
BURSA MALAYSIA BHD 270,600 550,403
CANON INC 105,700 4,160,409
CAP GEMINI SA 68,742 2,981,585
CARILLION PLC 163,725 843,103
CARLSBERG AS CL B 7,468 731,963
CARREFOUR SA (SUPERMARCHE 93,578 2,389,461
CASIO COMPUTER CO LTD 24,300 211,207
CCR SA 49,200 467,370
CEMIG NON-VTG PREF SPON A — 1,002
CERVECERIAS UNIDAS SA CIA 37,542 591,968
CHAODA MODERN AGRIC(HLDGS 1,354,000 69,876
CHINA HONGXING SPORTS LTD 3,613,000 340,138
CHINA LIFE INS CO LTD H 147,000 479,831
CHINA MOBILE LIMITED 72,500 844,182
CHINATRUST FINL HLDG CO 768,000 453,164
CHIYODA CORP 25,000 354,360
CHROMA ATE INC 204,000 454,113
CIA HERING SA 8,300 170,216
CIELO SA 13,300 370,191
CITIZEN HOLDINGS CO LTD 27,300 142,432
CNOOC LTD 243,000 526,076
CNP ASSURANCES 20,296 310,895
CONTINENTAL AG 2,692 311,234
CP ALL PCL (LOC) 664,000 997,844
CREDIT AGRICOLE SA 163,220 1,310,751
CREDIT SUISSE GROUP AG 64,115 1,560,378
DAI ICHI LIFE INSURANCE C 1,119 1,548,659

22

Table of Contents

DAI NIPPON PRINTING CO 60,300 468,424
DAIICHI SANKYO CO LTD 26,500 404,375
DAIMLER AG (GERW) 3,615 197,163
DANSKE BK AS 85,216 1,442,052
DCC PLC 30,675 1,004,139
DELPHI AUTOMOTIVE PLC 57,350 2,193,638
DELTA LLOYD NV 12,125 197,414
DENA CO LTD 800 26,243
DEUTSCHE BANK AG (GERW) 8,800 382,733
DEUTSCHE BOERSE AG 20,975 1,279,368
DEUTSCHE POST AG 12,075 264,577
DEUTSCHE TELEKOM AG (REGD 173,496 1,968,307
DMCI HOLDINGS INC 189,530 249,029
DNB ASA 71,429 904,791
DSV DE SAMMENSLUT VOGN 10,530 271,433
DURATEX SA 92,550 678,650
E.ON SE 34,575 643,029
EADS NV 25,425 990,012
ELETROBRAS (ON) SPON ADR — (24,670 )
ENEL (ENTE NAZ ENERG ELET 293,050 1,213,814
ENI SPA 162,309 3,929,157
ENKA INSAAT VE SANAYI AS 236,546 702,763
ENN ENERGY HOLDINGS LTD 130,000 566,067
ERICSSON (LM) TELE C CL B 63,700 637,671
EVRAZ PLC 49,697 209,011
FIAT SPA 39,755 198,879
FMTC INR UNREALIZED G/L 1 —
FORMOSA INTL HOTELS CORP 37,000 495,837
FRANCE TELECOM SA 185,554 2,042,405
FRAPORT AG FRANKFURT AIRP 3,341 193,751
FRESNILLO PLC 22,191 665,810
FUJI HEAVY INDUSTRIES LTD 59,000 732,775
FUJIFILM HOLDINGS CORP 92,300 1,835,666
FUJITSU LTD 129,000 536,042
GALAXY ENT GROUP LTD 103,000 403,317
GAM HOLDING LTD 68,850 929,642
GAZPROM O A O SPON ADR 238,558 2,321,169
GAZPROM O A O SPON ADR (U 199,325 1,885,615
GENERALI SPA (ASSICURAZIO 44,447 806,096
GLAXOSMITHKLINE PLC 243,633 5,347,486
GLAXOSMITHKLINE PLC SPONS 18,729 831,476
GOLD FIELDS LTD 50,325 615,891
GRUPO AEROPORT PACIFIC SA 4,574 267,330
GRUPO AEROPORTUARIO SAB C 56,500 321,570
GRUPO FINANCIERO BANORTE 122,900 793,422
HACHIJUNI BANK LTD 62,000 308,443
HANA FINANCIAL GROUP INC 9,000 295,386
HEIDELBERGCEMENT AG (GERW 3,138 189,828
HENKEL AG & CO KGAA ORD 6,403 438,894
HENNES & MAURITZ AB B 4,113 141,988

23

Table of Contents

HINO MOTORS LTD 26,000 231,985
HIROSE ELECTRIC CO LTD 3,800 451,342
HKT TR AND HKT LTD(STAPLE 452,000 441,454
HOCHTIEF AG 6,270 363,568
HOME RETAIL GROUP PLC 503,510 1,044,493
HON HAI PREC IND CO REGS 84,530 508,025
HON HAI PRECISION IND CO 484,290 1,481,279
HONDA MOTOR CO LTD 6,000 219,126
HOPEWELL HOLDINGS LTD 89,500 383,942
HSBC HLDGS PLC (UK REG) 173,700 1,825,338
HSBC HLDGS PLC SPON ADR 33,193 1,761,553
HUANENG POWER INTL INC H 788,000 728,947
HUTCHISON WHAMPOA LTD 94,000 981,131
HYPERMARCAS SA 24,600 199,684
HYUNDAI DEPT STORES CO 3,874 581,479
HYUNDAI MIPO DOCKYARD 4,811 583,486
IBERDROLA SA 469,363 2,598,952
IHH HEALTHCARE BHD 156,700 172,688
IMPALA PLATINUM HLDGS LTD 16,000 316,508
IMPERIAL HLDGS LTD (SOAF) 12,017 281,774
IMPERIAL TOBACCO GROUP PL 35,900 1,383,880
INDRA SISTEMAS SA 161,676 2,138,310
ING GROEP NV CVA 173,074 1,613,079
INTERCONTINENTAL HOTELS G 11,821 327,789
INTESA SANPAOLO SPA 1,464,292 2,512,630
INVESTOR AB SER B 8,515 222,592
IRISH BANK RESOLTN CRP LT 116,000 2
ISHARES S&P INDIA NIFTY 5 70,384 1,753,265
ISUZU MOTORS LTD 36,000 212,339
ITAUSA (INVEST ITAU) PFD 7,500 36,603
JAPAN AIRLINES CO LTD 8,600 367,288
JAPAN STEEL WORKS LTD 7,000 45,086
JAPAN TOBACCO INC 24,600 692,838
JOLLIBEE FOOD CORP 146,700 364,428
JSE LIMITED 53,615 494,883
JTEKT CORPORATION 20,300 190,734
KAO CORP 105,700 2,782,670
KASIKORNBANK PCL (FOR) 79,600 503,189
KBC GROUPE SA 27,800 959,564
KDDI CORP 23,600 1,658,960
KINNEVIK INVESTMENT AB B 7,279 151,890
KOC HLDG AS 17,858 92,696
KONICA MINOLTA HLDGS INC 20,500 145,761
KOREA GAS CORP 2,288 163,183
KOZA ALTIN ISLETMELERI AS 21,928 528,548
KRKA DD — 7,779
KRUNG THAI BANK (FOR) 1,174,500 752,048
KT CORP SPON ADR 63,800 1,124,179
KYOCERA CORP 4,600 412,558
LAGARDERE SCA (REG) 27,725 925,320

24

Table of Contents

LAND SECURITIES GROUP PLC 19,657 262,128
LLOYDS BANKING GROUP PLC 2,163,123 1,683,678
LUKOIL OIL CO SPONS ADR ( 25,386 1,713,555
M DIAS BRANCO SA 9,200 355,416
MABUCHI MOTOR CO LTD 22,900 979,333
MAGNA INTERNATIONAL (USD) 12,000 600,240
MAKITA CORP 27,300 1,251,007
MARCOPOLO SA (PN) 104,000 666,159
METALURGICA GERDAU SA PN 54,100 605,074
MINTH GROUP LTD 508,000 583,972
MITSUBISHI CHEMICAL HLDGS 73,000 358,954
MITSUBISHI MATERIALS CORP 44,000 148,300
MITSUBISHI UFJ FINL GRP 186,300 991,335
MMI HOLDINGS LTD 166,891 436,446
MR PRICE GROUP LIMITED 19,788 326,785
MS&AD INSURANCE GRP HLDGS 86,900 1,710,215
MTR CORPORATION LTD 234,500 922,770
NAMPAK LTD 160,542 603,157
NATIONAL GRID PLC 143,535 1,664,253
NATIXIS 256,985 864,979
NATURA COSMETICOS SA 23,600 675,899
NCSOFT CORPORATION 2,230 316,792
NESTLE SA (REG) 13,000 847,100
NEWMONT MINING CORP 21,100 979,884
NHN CORP 2,159 461,858
NINTENDO CO LTD 4,200 444,555
NIPPON TELEGRAPH & TELEPH 20,100 842,188
NKSJ HOLDINGS INC 34,400 728,620
NOKIA CORP SPON ADR 95,899 378,801
NOKIA OYJ 99,163 382,985
NOMURA HOLDINGS INC 227,600 1,321,438
NORDEA BANK AB 186,041 1,776,546
NOVARTIS AG (REG) 92,461 5,807,560
NOVO-NORDISK AS CL B 1,191 193,116
NOVO-NORDISK AS CL B ADR 14,507 2,367,687
NSK LTD 59,000 414,740
NTT DOCOMO INC 563 805,818
OI SA SPON ADR 38,025 152,480
OLD MUTUAL PLC (UK) 206,921 598,989
ONO PHARMACEUTICAL CO LTD 5,600 285,058
ORIENT OVERSEAS INTL LTD 31,000 200,778
ORIX CORP 7,910 884,722
OTE (GREEK TELECOM) SA 23,932 161,104
OTSUKA HOLDINGS CO LTD 11,700 328,710
PAGESJAUNES GROUPE SA 75,694 186,836
PARKSON RETAIL GROUP LTD 509,500 410,842
PARTNERRE LTD 10,150 816,974
PERUSAHAAN GAS NEGARA PT 1,426,500 680,872
PHILIPS ELEC (KON) NV 83,655 2,196,814
POWER OF CANADA SUB VTG 9,548 243,619

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Table of Contents

PRUKSA REAL ESTATE PCL (F 963,100 663,881
PTT GLOBAL CHEMICAL PCL ( 294,800 674,159
QBE INSURANCE GROUP LTD 141,529 1,601,982
RANDGOLD RESOURCES ADR 1,843 182,918
REED ELSEVIER NV 224,162 3,309,447
RENAISSANCERE HLDGS LTD 10,550 857,293
RESEARCH IN MOTION LTD 18,315 217,582
RESOLUTION LTD 130,387 524,223
ROCHE HLDGS GENUSSSCHEINE 6,600 1,327,721
ROHM CO LTD 15,200 491,081
ROYAL BANK OF SCOTLAND GR 330,456 1,741,946
ROYAL DUTCH SHELL PL CL A 144,421 4,952,559
ROYAL DUTCH SHELL PL CL B 28,712 1,014,446
RWE AG 61,886 2,551,884
SABESP(CIA SANEAM BASIC)S 4,740 396,122
SALZGITTER AG 6,860 356,988
SANKYO CO GUNMA (6417) 11,100 438,824
SANOFI 55,039 5,186,393
SCHNEIDER ELECTRIC SA 12,200 882,949
SCHRODERS PLC (NEW) ORD 11,770 322,359
SECOM CO LTD 15,800 790,593
SECURITY BANK CORP 143,140 543,834
SEGRO PLC 37,184 148,955
SEKISUI HOUSE LTD 77,000 837,237
SEMEN INDONESIA PERSERO T 246,000 404,576
SEVEN & I HLDGS UNSP ADR 282 15,891
SEVEN & I HOLDINGS CO LTD 91,300 2,568,224
SHIN-ETSU CHEMICAL CO LTD 45,800 2,764,864
SHIRE PLC 6,265 192,043
SHISEIDO CO LTD 45,000 632,135
SIAM CITY CEMENT (FOR) 26,400 362,235
SIEMENS AG (REGD) 28,300 3,070,547
SINGAPORE TECH ENGINEERIN 39,000 121,960
SINGAPORE TELECOM (SING) 436,000 1,202,119
SINO FOREST CORP 42,000 —
SJM HOLDINGS LIMITED 188,000 436,597
SKY CITY ENTERTAINMENT GR 76,786 239,863
SMC CORP 2,100 377,169
SMITH & NEPHEW PLC 118,100 1,303,604
SOCIETE GENE PARIS CL A 54,076 2,022,842
SOHO CHINA LTD 627,500 503,564
SONY CORP 63,400 701,070
SONY CORP ADR 14,664 164,237
SONY FIN HLDGS INC 21,400 380,401
ST GOBAIN CIE DE 62,033 2,638,188
STMICROELECTRONICS NV (NY 17,258 124,948
STMICROELECTRONICS NV(SIC 29,450 208,668
STORA ENSO AB R 1/10 VTG( 84,502 585,019
SUMITOMO CHEMICAL CO LTD 59,000 183,194
SUMITOMO ELECTRIC INDS 61,100 696,795

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Table of Contents

SUMITOMO MITSUI FINL GROU 64,200 2,308,340
SUMITOMO MITSUI TR HLDGS 119,000 413,447
SUN HUNG KAI PROPERTIES 9,000 134,927
SUN LIFE FINANCIAL INC 30,870 818,379
SUNCOR ENRGY INC 21,400 705,772
SURGUTNEFTEGAZ SPON ADR ( 44,302 399,604
SVENSKA HANDELSBANKEN SER 29,751 1,063,197
SWEDBANK AB A 68,781 1,343,224
SWISS LIFE HLDGS AG (NEW) 12,338 1,637,603
SWISS RE LTD 6,585 474,445
SYNTHOS SA 90,907 158,896
T&D HOLDINGS INC 51,700 621,224
TAIWAN SEMIC MFG CO SP AD 62,960 1,080,394
TAIWAN SEMICONDUCT MFG CO 510,000 1,702,047
TAKEDA PHARMACEUTICAL CO 55,400 2,465,135
TAMBANG BATUBARA BUKIT AS 358,500 561,697
TAV HAVALIMANLARI HLDGS A 95,707 489,278
TDK CORP 6,600 236,925
TE CONNECTIVITY LTD 44,625 1,656,480
TELECOM ITALIA SPA 1,313,064 1,183,761
TELECOM ITALIA SPA ADR 30,695 277,790
TELEFONICA SA 153,762 2,068,144
TELEKOM INDO SER B SPON A 16,504 609,823
TELSTRA CORP LTD 8,592 38,991
TELSTRA CORP LTD SPON ADR 12,034 273,774
TESCO PLC 702,702 3,835,454
TEVA PHARMACEUTICAL IND A 56,300 2,102,242
THE FOSCHINI GROUP LTD 48,930 825,995
THK CO LTD 83,900 1,487,510
TIGER BRANDS LTD 7,249 278,117
TOKIO MARINE HOLDINGS INC 89,400 2,459,055
TOKYO ELECTRON LTD 31,100 1,412,576
TOTAL SA (FRAN) 90,248 4,646,982
TOYOTA INDUSTRIES CORP 14,800 466,541
TOYOTA MOTOR CORP 107,900 4,988,048
TOYOTA TSUSHO CORP 46,200 1,127,337
TRANSOCEAN LTD 9,113 406,895
TRANSOCEAN LTD (SWISS) 6,874 303,173
TRAVIS PERKINS PLC 132,750 2,346,226
TSINGTAO BREWERY CO LTD H 40,000 236,103
TUI TRAVEL PLC 205,938 945,064
TURK SISE VE CAM FABRIKAL 328,142 542,627
TURKIYE HALK BANKASI 84,881 832,656
UBS AG (REGD) 112,475 1,754,790
UMICORE SA 3,284 180,714
UNIBAIL-RODAMCO 537 128,969
UNICREDIT SPA 393,851 1,926,615
UNILEVER NV CVA (BEARER) 17,550 667,966
UNILEVER PLC ORD 70,501 2,709,670
UNITED OVERSEAS BANK (LOC 106,385 1,725,256

27

Table of Contents

USIMINAS PN (PFD REG) A S 152,800 955,233
VALE S.A. 3,100 64,014
VALE S.A. PFD A 19,400 387,242
VODAFONE GROUP PLC 1,470,727 3,772,084
VODAFONE GROUP PLC SPON A — 4,185
VOESTALPINE AG 12,195 445,237
VOLKSWAGEN AG 9,957 2,138,981
VOLKSWAGEN AG SPONS ADR 3,980 173,011
WHITBREAD PLC 3,007 120,482
WOLTERS KLUWER NV 55,035 1,124,157
WPP PLC 150,125 2,165,571
YAMAHA MOTOR CO LTD 26,300 289,608
ZURICH INSURANCE GROUP AG 9,872 2,627,065
Russell International Value Account Total 345,331,692
Russell Small/Mid Cap Value Account
Mutual Funds
SSBK GOVT STIF FUND 9,088,514 9,087,614
S&P MID 400 EMINI MAR13 F 75 100,824
Publicly-traded Common Stock
AARONS INC A 4,670 132,068
ABM INDUSTRIES INC 7,100 141,645
ACI WORLDWIDE INC 49,477 2,161,650
ADVANCED ENERGY INDU INC 11,700 161,577
AFFILIATED MANAGERS GRP 18,591 2,419,619
AFFYMETRIX INC 94,230 298,709
AG MORTGAGE INVESTMENT TR 30,400 738,112
AGCO CORP 35,420 1,739,830
AGREE REALTY CORP 3,000 81,570
AIRCASTLE LTD 35,900 450,186
AKAMAI TECHNOLOGIES INC 20,068 820,982
ALAMO GROUP INC 1,600 52,224
ALASKA AIR GROUP INC 18,580 800,612
ALBANY INTL CORP CL A 9,600 217,728
ALBEMARLE CORP 22,765 1,418,715
ALEXANDER & BALDWIN INC 33,905 995,790
ALEXANDRIA REAL ES EQ REI 10,990 767,981
ALLEGHENY TECH INC 20,000 607,200
ALLEGIANT TRAVEL CO 7,800 572,598
ALLIANT TECHSYSTEMS INC 16,800 1,040,928
ALLIED WRLD ASSURNCE HLDG 4,380 345,144
ALON USA ENERGY INC 13,700 247,833
ALTRA HOLDINGS INC 3,700 81,585
AMERICAN RAILCAR INDS INC 7,800 247,494
AMERICAN SAFETY INS GRP 4,330 81,924
AMERICAN STATES WATER CO 1,000 47,980
AMERICAN SUPERCONDUCTOR 12,900 33,798

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AMERICAN WOODMARK 2,300 63,986
AMERICAS CAR MART INC 34,250 1,387,810
AMERIPRISE FINANCIAL INC 15,834 991,683
AMN HEALTHCARE SVCS INC 11,800 136,290
ANADIGICS INC 16,200 40,824
ANDERSONS INC 36,885 1,588,268
APOLLO RESID MORTG INC 21,830 463,669
APPLIED MICRO CIRCUITS CO 45,809 384,796
ARES CAPITAL CORP 215,008 3,762,640
ARGAN INC 8,900 160,200
ARGO GROUP INTL 14,810 497,468
ARLINGTON ASSET INVT CORP 4,000 83,080
ARRIS GROUP INC 39,500 590,130
ARTIO GLOBAL INVESTO CL A 7,100 13,490
ASCENT CAPITAL GROUP INC 2,600 161,044
ASPEN INSURANCE HLDGS LTD 77,120 2,474,010
ASSOCIATED BANC CORP 43,400 569,408
ASSURANT INC 24,170 838,699
ASTEC INDUSTRIES INC 29,004 966,703
ASTEX PHARMACEUTICALS INC 41,900 121,929
ASTORIA FINANCIAL CORP 19,200 179,712
ATLAS AIR WORLD 89,028 3,944,831
ATWOOD OCEANICS INC 32,450 1,485,886
AURICO GOLD INC 178,850 1,462,993
AUTOLIV INC 9,450 636,836
AVERY DENNISON CORP 19,200 670,464
AVIAT NETWORKS INC 13,155 43,280
AVID TECHNOLOGY INC 12,600 95,508
AVNET INC 35,400 1,083,594
AXCELIS TECHNOLOGIES INC 63,000 87,570
BANCFIRST CORP 100 4,236
BANK OF THE OZARKS INC 44,550 1,491,089
BEBE STORES INC 6,700 26,733
BENCHMARK ELECTRONICS INC 24,300 403,866
BIG 5 SPORTING GOODS CORP 9,500 124,450
BIOMED REALTY TRUST INC 95,282 1,864,192
BLACK BOX CORPORATION 2,800 68,328
BLACK HILLS CORP 7,600 276,184
BOK FINANCIAL COMMON NEW 900 49,014
BOSTON PRIVATE FINL HLDG 97,282 876,511
BRISTOW GROUP INC 7,850 421,231
BROADRIDGE FINANCIAL SOL 46,940 1,082,436
BROCADE COMM SYS 136,300 726,479
BROWN SHOE CO INC 27,400 503,338
C T S CORP 2,200 23,463
CABLEVISION SYS NY GRP A 16,500 246,510
CABOT CORP 35,848 1,426,392
CAI INTERNATIONAL INC 1,200 26,340
CAL DIVE INTL INC 636,590 1,101,301
CALLAWAY GOLF CO 238,482 1,550,133

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CAMBREX CORP 600 6,828
CAMDEN PROPERTY TR – REIT — 1,792
CAPITALSOURCE INC 323,648 2,453,252
CAPLEASE INC 22,500 127,013
CARDINAL FINL CORP 4,100 66,707
CASH AMERICA INTL INC 76,717 3,043,363
CATO CORP CL A 12,050 330,532
CBEYOND INC 5,100 46,104
CDI CORP 2,900 49,677
CEDAR REALTY TRUST INC 16,900 89,232
CENTRAL EURO DIST (USA) 25,200 54,684
CENTRAL GARDEN & PET CL A 3,500 36,575
CHEMED CORP 14,650 1,004,844
CHEMTURA CORP NEW 44,400 943,944
CHESAPEAKE LODGING TRUST 19,550 412,505
CHESAPEAKE UTILITIES CORP 1,200 54,918
CIENA CORP 40,800 640,560
CIMAREX ENERGY CO 900 51,957
CINEMARK HOLDINGS INC 79,100 2,055,018
CIRCOR INTERNATIONAL INC 32,950 1,304,491
CITI TRENDS INC 9,100 125,216
CITIZENS & NORTHERN CORP 2,840 53,676
CITY NATIONAL CORP 7,220 357,534
CLECO CORP 16,570 662,966
CLOUD PEAK ENERGY INC 67,100 1,297,043
COLONY FINANCIAL INC 20,500 407,950
COLUMBIA BANKING SYS INC 11,000 197,340
COLUMBUS MCKINNON CORP NY 4,370 72,192
COMERICA INC 77,086 2,350,352
COMFORT SYSTEMS USA INC 4,050 49,248
COMMERCE BANCSHARES INC 3,370 118,152
COMMERCIAL METALS CO 46,500 690,990
COMMONWEALTH REIT 10,500 166,320
COMMUNITY HEALTH SYS NEW 3,100 95,294
COMTECH TELECOM NEW 7,500 190,350
CON WAY INC 25,990 723,042
CONCHO RESOURCES INC 16,595 1,336,893
CONMED CORP 64,377 1,808,994
CONN WATER SVC IND 3,440 102,443
CONSOLIDATED GRAPHICS INC 1,000 34,920
CONVERGYS CORP 157,004 2,584,136
CORE-MARK HOLDING CO INC 5,750 272,263
COURIER CORP 1,400 15,400
CRANE CO 48,340 2,237,175
CREE INC 40,632 1,380,675
CSG SYSTEMS INTL INC 24,310 441,956
CSS INDUSTRIES INC 2,000 43,780
CURTISS WRIGHT CORPORATIO 23,100 758,373
CYNOSURE INC CL A 4,310 103,914
CYS INVESTMENTS INC 218,774 2,583,721

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CYTEC INDUSTRIES INC 8,360 575,419
DARLING INTL INC 60,600 972,024
DAWSON GEOPHYSICAL CO 1,578 41,628
DEAN FOODS CO 53,890 889,724
DELEK US HOLDINGS INC 31,120 787,958
DESTINATION MATERNITY INC 1,900 40,964
DIAMOND FOODS INC 2,800 38,276
DIAMONDROCK HOSPITALITY C 149,267 1,355,344
DIGI INTERNATIONAL INC 4,900 46,403
DIGITAL GENERATION INC 76,450 830,247
DIGITAL RIVER INC 32,800 471,992
DINEEQUITY INC 17,890 1,198,630
DOLAN CO THE 5,000 19,450
DONNELLEY R R & SONS CO 52,600 473,400
DSP GROUP 12,400 71,424
DUFF & PHELPS CORP CL A 56,795 887,138
DYCOM INDUSTRIES INC 61,300 1,213,740
EAGLE BANCORP INC MD 1,766 35,267
EBIX INC 34,400 552,808
ECHELON CORP 200 490
EINSTEIN NOAH RESTAURANT 2,700 33,305
EL PASO ELECTRIC CO 22,600 721,166
ELECTRO RENT CORP 3,000 46,140
ELECTRO SCIENTIFIC INDS 95,154 946,782
ELECTRONIC ARTS INC 8,000 116,240
ELECTRONICS FOR IMAGING 17,700 336,123
ELLIS (PERRY) INTL INC 3,500 69,650
EMCOR GROUP INC 26,970 933,432
EMERGENT BIOSOL 12,500 200,500
EMULEX CORP 71,680 523,264
ENCORE CAP GROUP INC 19,500 597,090
ENDO HEALTH SOLUTIONS INC 27,250 715,858
ENDURANCE SPECIALTY HLDGS 61,100 2,425,059
ENERGEN CORP 14,900 671,841
ENERGIZER HOLDINGS INC 10,300 823,794
ENERGYSOLUTIONS INC 84,893 264,866
ENERNOC INC 5,410 63,568
ENERSYS INC 31,350 1,179,701
ENTROPIC COMM INC 210,750 1,114,868
EPL OIL & GAS INC 18,150 409,283
EPR PROPERTIES 43,925 2,058,326
EQUIFAX INC 35,802 1,937,604
EXTRA SPACE STORAGE INC 23,730 863,535
EZCORP INC CL A NON VTG 96,250 1,911,525
FIFTH STREET FINANCE CORP 108,000 1,125,360
FIRST AMERICAN FIN CORP 33,400 804,606
FIRST COMMUNITY BANCSHARE 1,500 23,955
FIRST FIN HLDGS INC 4,003 52,359
FIRST FINANCIAL BANCORP 68,900 1,026,610
FIRST INTST BANCSYST CL A 5,120 79,002

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FIRST OF LONG ISLAND CORP 1,490 42,197
FIRST REPUBLIC BANK 26,900 881,782
FIRST SOLAR INC 16,000 494,080
FISHER COMMUNICATIONS INC 2,900 78,271
FIVE STAR QUALITY CARE 9,700 48,597
FLOW INTL CORP 20,220 70,770
FMC CORP NEW 44,274 2,596,891
FORESTAR GROUP INC 45,313 785,274
FORMFACTOR INC 28,100 128,136
FRANKLIN STREET PPTYS 115,277 1,419,060
FREIGHTCAR AMERICA INC 2,786 62,462
FRESH DEL MONTE PRODUCE 27,760 731,476
FUEL SYS SOLUTIONS INC 89,898 1,321,501
FULTON FINANCIAL CORP 57,470 552,287
GAMESTOP CORP CL A 34,100 855,569
GERON CORP 37,200 52,452
GLOBAL PAYMENTS INC 34,003 1,540,336
GRACE W R & CO 17,193 1,155,885
GRAFTECH INTL LTD 194,629 1,827,566
GRANITE CONSTRUCTION INC 65,747 2,218,961
GREAT SOUTHERN BANCORP 2,500 63,625
GREATBATCH INC 6,600 153,384
GREEN DOT CORP CLASS-A 59,650 727,730
GREEN PLAINS RNWABLE ENRG 10,900 86,219
GRIFFON CORP 8,800 100,848
GUESS INC 41,500 1,018,410
GULFMARK OFFSHORE CLASS A 1,890 65,111
H&E EQUIPMENT SVCS INC 10,900 164,263
HANMI FIN CORPORATION 900 12,231
HANOVER INSURANCE GROUP 11,500 445,510
HARMAN INTL IND INC NEW 22,700 1,013,328
HARMONIC INC 39,400 199,758
HARRIS CORP 19,383 948,992
HARSCO CORP 37,300 876,550
HARTE-HANKS INC 21,100 124,490
HAWAIIAN HLDGS INC 66,990 440,124
HCC INSURANCE HLDGS INC 23,700 885,788
HEALTH NET INC 13,800 335,340
HEALTHWAYS INC 9,500 101,650
HECLA MINING CO 182,125 1,061,789
HEIDRICK & STRUGGLES INTL 7,600 115,976
HENRY SCHEIN INC 4,970 399,886
HERITAGE FIN CORP WASH 4,260 62,579
HILL-ROM HOLDINGS INC 22,700 646,950
HOME LOAN SERVICING SOLN 35,700 679,014
HOMEOWNERS CHOICE INC 6,900 143,451
HOMESTREET INC 6,814 174,098
HORACE MANN EDUCATORS 12,600 251,496
HORNBECK OFFSHORE SVCS 5,800 199,172
HORSEHEAD HOLDING CORP 17,300 176,633

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HOSPITALITY PROPERTY TR R 82,272 1,926,810
HUBBELL INC CL B 7,400 626,262
HUNTINGTON INC W/I 19,400 840,796
IAC/INTERACTIVECORP 55,964 2,647,097
IAMGOLD CORP 101,558 1,177,565
IBERIABANK CORP 33,800 1,671,748
INCONTACT INC 8,300 42,994
INGLES MARKETS INC – CL A 500 8,630
INTEGRATED SILICON SOLUTN 8,700 78,300
INTERACTIVE BROKERS GROUP 5,400 73,872
INTERDIGITAL INC 98,622 4,053,364
INTERNATIONAL GAME TECH 61,200 867,204
INTERNATIONAL RECTIFIER 82,114 1,455,881
INTEVAC INC 3,020 13,801
INVESTMENT TECH GROUP INC 12,100 108,900
ITRON INC 24,200 1,078,110
IXYS CORP DEL 2,700 24,678
J2 GLOBAL INC 86,547 2,646,607
JACK IN THE BOX INC 12,900 368,940
KADANT INC 4,604 122,052
KAISER ALUM CORP 2,900 178,901
KAMAN CORP 25,737 951,240
KAR AUCTION SERVICES INC 136,833 2,769,500
KBR INC 26,900 804,848
KBW INC 55,968 856,310
KELLY SERVICES INC CL A 7,164 112,761
KENNAMETAL INC 24,317 972,680
KEY ENERGY SERVICES INC 100,850 700,908
KEYCORP 176,721 1,487,991
KIMBALL INTL INC CL B 10,900 126,949
KINDRED HEALTHCARE INC 7,900 85,478
KIRBY CORP 7,500 464,175
KIRKLANDS INC 2,800 29,652
KITE REALTY GROUP TRUST 15,500 86,645
KULICKE & SOFFA INDU INC 106,300 1,274,537
LANDEC CORP 13,390 127,071
LAREDO PETROLEUM INC 14,000 254,240
LASALLE HOTEL PPTYS REIT 46,350 1,186,097
LAYNE CHRISTENSEN CO 44,067 1,069,506
LEAR CORP NEW 30,800 1,442,672
LEGG MASON INC 23,800 612,136
LEXMARK INTL INC CL A 36,700 851,073
LIBERTY PROPERTY TR – REI 22,850 828,198
LIN TV CORP CL A 9,400 70,782
LORAL SPACE & COMMUNIC 52,421 2,865,332
LPL FIN HLDGS INC 20,100 566,016
LSB INDUSTRIES INC 2,300 81,466
LTX CREDENCE CORP 20,940 137,366
MADISON SQUARE GARDEN CO 16,400 727,340
MAGELLAN HLTH SVCS INC 5,000 245,000

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MAIDEN HLDGS LTD 32,080 294,815
MAINSOURCE FINACIAL GROUP 7,720 97,812
MARRIOTT VACATIONS WORLD 3,400 141,678
MARVELL TECH GROUP LTD 333,088 2,418,219
MATERION CORP 55,350 1,426,923
MATRIX SERVICE CO 5,000 57,500
MB FINANCIAL INC 4,800 94,800
MCDERMOTT INTL INC 22,900 252,358
MEDICAL PPTY TR INC 205,346 2,497,007
MENS WEARHOUSE INC 38,220 1,190,935
MENTOR GRAPHICS CORP 30,500 519,110
MERCURY SYSTEMS INC 123,345 1,134,774
MERITOR INC 7,600 35,948
METALS USA HOLDINGS CORP 18,400 321,816
METHANEX CORP (USD) 38,300 1,220,621
METHODE ELECTRONICS INC 4,000 40,120
MINDSPEED TECH INC 36,810 172,271
MISSION WEST PPTYS INC MD 1,900 17,309
MKS INSTRUMENTS INC 5,100 131,478
MODINE MANUFACTURING CO 2,800 22,764
MOLEX INC 35,880 980,600
MOLINA HEALTHCARE INC 26,900 727,914
MOOG INC CL A 28,800 1,181,664
MUELLER INDUSTRIES INC 400 20,012
MYR GROUP INC/DELAWARE 10,600 235,850
NABORS INDUSTRIES LTD 80,688 1,165,942
NASH-FINCH CO 8,530 181,518
NATURAL GAS SVCS GROUP 5,325 87,437
NATUS MEDICAL INC 4,800 53,664
NAVIGANT CONSULTING INC 9,600 107,136
NAVIGATORS GROUP INC 2,400 122,568
NELNET INC CL A 95,000 2,830,050
NEW YORK & CO INC 4,000 15,240
NEWFIELD EXPLORATION CO 34,100 913,198
NEWPARK RESOURCES INC 178,050 1,397,693
NEXSTAR BROADCASTING GRP 3,100 32,829
NORTHWESTERN CORP 10,600 368,138
NV ENERGY INC 44,220 802,151
NVIDIA CORP 80,126 984,749
OASIS PETROLEUM INC 42,804 1,361,167
OCWEN FINANCIAL CORP 20,000 691,800
OIL STATES INTL INC 22,200 1,588,188
OLD NATIONAL BANCORP (IND 6,900 81,903
OLD REPUBLIC INTL CORP 47,700 508,005
OLIN CORP 34,000 734,060
OM GROUP INC 55,752 1,237,694
OMNICELL INC 11,084 164,819
OMNIVISION TECH INC 128,850 1,814,208
ON SEMICONDUCTOR CORP 78,600 554,130
ONE LIBERTY PROPERTIES 3,180 65,635

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OPLINK COMMUNICATIONS INC 4,800 74,784
ORBITAL SCIENCES CORP 45,040 620,201
ORION MARINE GROUP INC 600 4,386
ORTHOFIX INTL NV (NASDQ) 7,000 275,310
OWENS ILLINOIS INC 17,300 367,971
PACER INTERNATIONAL INC 12,500 48,750
PACWEST BANCORP 12,900 319,662
PANTRY INC 11,200 135,856
PARK OHIO HLDGS CORP 800 17,048
PARKER DRILLING CO 31,700 145,820
PATTERSON-UTI ENERGY INC 161,301 3,005,038
PDL BIOPHARMA INC 5,200 36,660
PENN VIRGINIA CORP. 73,700 325,017
PEOPLES BANCORP INC 1,420 29,011
PHH CORP 17,500 398,125
PIEDMONT OFFC REALTY TR A 33,800 610,090
PINNACLE ENTERTAINMENT 24,400 386,252
PINNACLE FINL PARTNERS 7,400 139,416
PINNACLE WEST CAPITAL 16,400 836,072
PIONEER ENERGY SVCS CORP 44,100 320,166
PIPER JAFFRAY COS 48,994 1,574,177
PLEXUS CORP 10,940 282,252
PNM RESOURCES INC 22,890 469,474
POLYCOM INC 120,211 1,257,407
POST PROPERTIES – REIT 19,330 970,366
POWELL INDUSTRIES INC 1,755 72,885
PRECISION DRILLING CORP 103,100 853,668
PRIMORIS SVCS CORP 15,500 233,120
PROASSURANCE CORPORATION 20,300 856,457
PROTECTIVE LIFE CORP 31,820 909,416
PROVIDENT FIN SVCS INC 10,300 153,676
PVH CORP 7,500 832,575
QUANTA SVCS INC 46,176 1,260,143
RAYMOND JAMES FIN INC. 52,127 2,015,751
REALNETWORKS INC 14,169 107,118
RENASANT CORP 2,900 55,506
REPUBLIC AIRWAYS HLDGS 7,800 44,304
REVLON INC CL A 1,700 24,650
RITE AID CORP 230,600 313,616
RLJ LODGING TRUST 28,800 563,760
ROCKWOOD HOLDINGS INC 18,380 909,075
ROSETTA STONE INC 8,400 103,656
ROWAN COMPANIES PLC 40,927 1,279,787
RPM INTERNATIONAL INC 1,100 32,296
RPX CORP 15,300 138,312
RTI BIOLOGICS INC 37,800 161,406
RTI INTL METALS INC 39,480 1,088,069
RUBY TUESDAY INC 189,068 1,486,074
RUDOLPH TECHNOLOGIES INC 1,231 16,557
S & T BANCORP 900 16,263

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SAIA INC 12,810 296,167
SANDY SPRING BANCORP INC 6,630 128,755
SANMINA CORP 22,100 244,647
SCHWEITZER-MAUDUIT INTL 9,190 358,686
SCRIPPS (EW) CO CL A 8,800 95,128
SHOE CARNIVAL 2,200 45,078
SHORETEL INC 5,500 23,320
SIGMA DESIGNS INC 9,800 50,470
SILGAN HOLDINGS INC 70,461 2,930,473
SILICON GRAPHICS INTL 32,000 327,360
SILICON IMAGE INC 88,130 437,125
SIX FLAGS ENTERTAINMENT 50,222 3,073,586
SKECHERS USA INC CL A 60,956 1,127,686
SKYWEST INC 36,100 449,806
SKYWORKS SOLUTIONS INC 110,567 2,244,510
SM ENERGY CO 2,800 146,188
SMITH (AO) CORP 14,100 889,287
SMITH MICRO SOFTWARE INC 1,900 2,869
SMITHFIELD FOODS INC 25,600 552,192
SMUCKER (J.M.) CO 16,633 1,434,430
SONUS NETWORKS INC 98,400 167,280
SOUTHWEST AIRLINES CO 138,604 1,420,691
SOVRAN SELF STORAGE REIT 3,500 217,350
SPANSION INC CL A 26,870 373,762
SPARTAN STORES INC 5,200 79,872
SPIRIT AIRLINES INC 106,500 1,887,180
SPX CORP 6,800 477,020
STAGE STORES INC 27,700 686,406
STANCORP FINL GROUP INC 14,950 548,217
STANDARD MOTOR PRODUCTS 11,000 244,420
STARWOOD PROPERTY TR INC 109,115 2,564,203
STATE BANK FINANCIAL CORP 59,060 937,873
STEEL DYNAMICS INC 61,050 844,322
STEIN MART INC 1,500 11,310
STELLARONE CORP 72,704 1,028,035
STERLING BANCORP 1,300 11,843
STEWART INFORMATION SVCS 10,600 275,600
STONE ENERGY CORP 8,700 178,524
STONERIDGE INC 1,100 5,632
SUNPOWER CORP 87,200 490,064
SUPERIOR ENERGY SVCS INC 94,115 1,950,063
SURMODICS INC 2,200 49,192
SVB FINL GROUP 14,530 813,244
SYCAMORE NETWORKS INC 20,600 46,144
SYKES ENTERPRISES INC 10,200 155,244
SYMETRA FINANCIAL CORP 13,300 172,634
SYNAPTICS INC 40,850 1,224,275
SYNNEX CORP 28,200 969,516
TARGACEPT INC 15,300 67,014
TELECOMMUNICATION SYST A 17,100 42,237

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TELEDYNE TECHNOLOGIES INC 42,022 2,734,372
TELEFLEX INC 17,006 1,212,698
TELENAV INC 4,000 31,920
TELEPHONE & DATA SYS INC 37,300 825,822
TELLABS INC 231,310 527,387
TERRITORIAL BANCORP INC 2,566 58,633
TESCO CORP 8,400 95,676
TESORO CORP 28,260 1,244,853
TETRA TECHNOLOGIES INC 141,621 1,074,903
TEXAS CAPITAL BANCSHARES 14,415 646,080
TIDEWATER INC 16,600 741,688
TITAN MACHINERY INC 15,850 391,495
TIVO INC 28,600 352,352
TMS INTL CORPORATION 5,300 66,356
TOLL BROTHERS INC 21,000 678,930
TRICO BANCSHARES 2,500 41,875
TRIPLE-S MANAGEMENT CL B 1,300 24,011
TRIUMPH GROUP INC 22,400 1,462,720
TRUEBLUE INC 13,710 215,933
TRW AUTOMOTIVE HLDGS CORP 20,450 1,096,325
TTM TECHNOLOGIES INC 17,900 164,680
TUTOR PERINI CORP 13,200 180,840
TYSON FOODS INC CL A 3,800 73,720
UIL HLDG CORP — 4,147
UNION FIRST MARKET BANKSH 1,000 15,770
UNIT CORP 29,648 1,335,642
UNITED FIRE GROUP INC 5,200 113,568
UNITED ONLINE INC 59,100 330,369
UNITED STATES CELLULAR 700 24,668
UNITED STATES STEEL CORP 39,100 933,317
UNIVERSAL AMERICAN NEW 11,300 97,067
UNIVERSAL FOREST PRODUCTS 29,705 1,129,978
URS CORP NEW 25,390 1,001,889
URSTADT BIDDLE PPTYS CL A 2,400 47,232
US SILICA HOLDINGS INC 55,050 920,987
UTI WORLDWIDE INC 8,800 117,920
VALUECLICK INC 127,201 2,468,971
VANGUARD HEALTH SYS INC 500 6,125
VANTAGE DRILLING CO 88,400 161,772
VCA ANTECH INC 33,800 711,490
VIEWPOINT FINANCIAL GROUP 45,620 955,283
VIRGIN MEDIA INC 60,838 2,235,797
VISHAY INTERTECHNOLOGY 214,432 2,279,412
VONAGE HOLDINGS CORP 10,400 24,648
VOXX INTERNATIONAL CORP 2,000 13,460
WASHINGTON FEDERAL INC 49,731 838,962
WASHINGTON POST CO CL B 1,800 657,378
WEBSTER FINANCIAL 21,350 438,743
WELLCARE HEALTH PLANS INC 6,200 301,878
WESTERN REFINING INC 16,500 465,135

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WET SEAL INC CL A 74,500 205,620
WHITE MOUNTAINS INS GROUP 960 494,400
WILLIAMS CLAYTON ENERGY 4,100 164,000
WILSHIRE BANCORP INC 30,532 179,223
WMS INDUSTRIES INC 46,950 821,625
WORLD FUEL SERVICES CORP 58,557 2,412,988
WPX ENERGY INC 39,200 583,296
WSFS FINANCIAL CORP 1,800 76,050
XENOPORT INC 19,800 153,846
Russell Small/Mid Cap Value Account Total 328,863,944
Investments held by trustee 8,617,988,116
Participant Loans* Interest at 4.25% – 9.44%, maturing through February 2028 89,891,912
Total Investments 8,707,880,028
  • Party-in-interest

** Information not presented because investments are participant directed

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