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MICROSOFT CORP Regulatory Filings 2014

Jun 25, 2014

29734_rns_2014-06-25_ea9b3876-c9fe-4caa-ab3c-2ade115c2b3c.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, 2013

¨ 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 2013 and 2012, 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 on Form 11-K to be signed on its behalf by the undersigned hereunto duly authorized.

Microsoft Corporation Savings Plus 401(k) Plan
Date: June 24, 2014 /s/ Lisa Brummel
Lisa Brummel
Member of 401(k) Administrative Committee
Date: June 24, 2014 /s/ William J. Sample
William J. Sample
Member of 401(k) Administrative Committee
Date: June 24, 2014 /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, 2013 AND 2012;

NOTES TO FINANCIAL STATEMENTS; AND

SUPPLEMENTAL SCHEDULE OF ASSETS HELD AT END OF YEAR AS OF DECEMBER 31, 2013

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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, 2013 and 2012 2
Statements of Changes in Net Assets Available for Benefits for the Years Ended December 31, 2013 and
2012 3
Notes to Financial Statements 4
SUPPLEMENTAL SCHEDULE:
Supplemental Schedule of Assets Held at End of Year as of December 31, 2013 13
EXHIBITS:
Consent of Independent Registered Public Accounting Firm

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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, 2013 and 2012, 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 the 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, 2013 and 2012, and the changes in net assets available for benefits for the years then ended 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 basic financial statements as a whole. The supplemental schedule of assets held at end of year as of December 31, 2013, 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 2013 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.

/s/ DELOITTE & TOUCHE LLP

Seattle, Washington

June 24, 2014

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS

December 31, 2013 2012
ASSETS
Cash $ 11,514,706 $ 4,965,226
Investments held by trustee, at fair value 11,142,764,257 8,617,988,116
Receivables:
Participant loans 99,135,026 89,891,912
Other receivables 9,712,160 12,177,455
Total receivables 108,847,186 102,069,367
Total assets $ 11,263,126,149 $ 8,725,022,709
LIABILITIES
Operating payables $ 2,045,169 $ 2,956,389
Other payables 6,239,850 23,411,544
Total liabilities 8,285,019 26,367,933
NET ASSETS AVAILABLE FOR BENEFITS $ 11,254,841,130 $ 8,698,654,776

See accompanying notes.

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS

Year Ended December 31, 2013 2012
ADDITIONS
Net investment income:
Interest and dividends $ 67,642,828 $ 94,123,219
Net increase in fair value of investments 2,152,942,701 871,446,428
Net investment income 2,220,585,529 965,569,647
Contributions and transfers in:
Participant contributions 732,357,141 666,562,569
Employer contributions 227,489,525 213,079,218
Transfers in 5,302,979 9,807,433
Total contributions and transfers in 965,149,645 889,449,220
Total additions 3,185,735,174 1,855,018,867
DEDUCTIONS
Benefits paid to participants 629,548,820 482,895,341
INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS 2,556,186,354 1,372,123,526
NET ASSETS AVAILABLE FOR BENEFITS
Beginning of year 8,698,654,776 7,326,531,250
End of year $ 11,254,841,130 $ 8,698,654,776

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 (“GAAP”).

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.

Contributions:

Participant Contributions

Participants may contribute to the Plan on a pre-tax basis and/or on an after-tax Roth basis from eligible compensation each pay period, subject to regulatory limitations. Participants reaching age 50 or older by the end of the Plan year may also elect to make additional catch-up contributions to the Plan on a pre-tax and/or after-tax Roth basis. Effective May 16, 2013, each participant’s annual after-tax non-Roth contribution limit changed from 7% of eligible compensation to $20,000. In addition, a participant’s aggregate contribution election (combined pre-tax, after-tax Roth, after-tax non-Roth, pre-tax catch-up and after-tax Roth catch-up) may not exceed 75% of their eligible compensation per pay period. Participant contributions may be suspended at any time and reinstated at any subsequent entry date.

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.

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Employer Contributions

The Company makes a pre-tax matching contribution of $0.50 for every $1.00 contributed (up to a 6 percent combined pre-tax and after-tax Roth contribution rate). 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.

Yammer, Inc. (“Yammer”) was acquired by the Company in 2012 and the Yammer plan assets merged into the Plan during 2013. The merged amounts are included as Transfers In on the Statements 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 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 also take a withdrawal from their rollover and after-tax account types within the Plan. After reaching age 59 1 / 2 , active participants may withdraw all, or any portion, of the balance in their accounts. 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.

In-Plan Roth Conversions: Effective May 16, 2013, active participants may convert their Plan distribution-eligible balances to their Roth account within the Plan.

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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 used by the trustee to pay for Plan administrative expenses. The majority of these fees were eliminated effective January 3, 2013, although a very small amount still exists for certain PIMCO mutual fund investments.

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, unitized accounts, 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 GAAP 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 for any periods presented in these financial statements.

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 measured at their unpaid principal balance plus any accrued but unpaid interest and participant loans deemed distributed due to default are included in Benefits paid to participants on the Statements of Changes in Net Assets Available for Benefits.

Other Receivables and Payables: Other receivables at December 31, 2013 and 2012 consist primarily of unsettled trades and accrued interest. Other payables at December 31, 2013 and 2012 consist primarily of unsettled trades.

Recently Adopted Accounting Guidance: In December 2011, the Financial Accounting Standards Board (“FASB”) issued guidance enhancing disclosure requirements about the nature of an entity’s right to offset and related arrangements associated with its financial 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 derivatives, repurchase agreements, and securities lending arrangements that are either offset or subject to an enforceable master netting arrangement, or similar agreements. We adopted this new guidance beginning January 1, 2013. Adoption of this new guidance did not have a material impact on the Plan’s disclosure at Note 7.

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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, 2013 or December 31, 2012, are as follows:

December 31, 2013 2012
Fidelity Growth Company Units (a) $ 1,136,108,553 $ 0
Fidelity Growth Company Fund (a) 0 859,265,382
Fidelity Contrafund Units (a) 1,067,829,315 0
Fidelity Contrafund (a) 0 820,684,785
Vanguard Institutional Index Fund Plus 942,205,806 674,165,401
Microsoft Common Stock 844,237,956 692,033,346
BlackRock LifePath Index 2040 616,767,055 468,022,857
Vanguard Small-Cap Growth Index Fund 610,536,115 *
BlackRock LifePath Index 2030 592,702,146 482,225,805

(a) On January 3, 2013, the Plan replaced the Fidelity Growth Company Fund and Fidelity Contrafund with the Fidelity Growth Company Units and Fidelity Contrafund Units, respectively, which are unitized investment versions.

  • Balance was less than 5 percent of the Plan’s net assets available for benefits

During 2013 and 2012, the net appreciation in the fair value of investments was as follows:

Year Ended December 31, 2013 2012
Unitized accounts (a) $ 598,113,467 $ 0
Mutual funds 523,750,813 391,597,100
Separately managed accounts 521,465,516 355,236,000
Microsoft Common Stock 259,882,315 21,058,957
Collective trusts 210,956,769 86,520,645
Brokerage accounts 38,773,821 17,033,726
Total net appreciation in fair value of investments $ 2,152,942,701 $ 871,446,428

(a) On January 3, 2013, the Plan replaced the Fidelity Growth Company Fund and Fidelity Contrafund with the Fidelity Growth Company Units and Fidelity Contrafund Units, respectively, which are unitized investment versions.

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 current outstanding balance of all other loans, and (2) the excess (if

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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.

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, 2013 was 4.25 percent to 9.44 percent, maturing at various dates through February 2029. The range of interest rates for outstanding General Loans as of December 31, 2013 was 4.25 percent to 9.25 percent, maturing at various dates through January 2019.

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 with Fidelity 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.

GAAP requires 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, 2013 and 2012, 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 2013.

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, 2013 and December 31, 2012, the Plan held 22,567,173 shares of Microsoft Common Stock valued at $844,237,956 and 25,909,439 shares of Microsoft Common Stock valued at $692,033,346, respectively. During the years ended December 31, 2013 and December 31, 2012, the Plan recorded Microsoft Common Stock dividend income of $22,997,850 and $20,995,835, respectively.

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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. government securities, domestic and international equities, and actively traded mutual funds. Our Level 1 derivative assets include those actively traded on exchanges.

• 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, credit spreads, 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 Collective Trust in order to ensure that securities liquidations will be carried out in an orderly business manner. The Collective Trust has no unfunded commitments, other redemption restrictions, nor redemption notice period. The objective of the Blackrock LifePath Portfolios is to provide income and moderate long-term growth of capital. Portfolios are comprised of a mix of stocks, bonds, commodities and cash and gradually become more conservative as the target year approaches. 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, 2013 and December 31, 2012, the Plan did not hold any financial instruments in Level 3.

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Financial Instruments Measured at Fair Value

December 31, 2013 Level 1 Level 2
Mutual funds
Fidelity Institutional Money Market Fund $ 438,521,103 $ 0 $ 438,521,103
PIMCO Inflation Response Multi-Asset Fund (primarily bond-based) 9,648,113 0 9,648,113
PIMCO All Asset All Authority 3,104,983 0 3,104,983
Vanguard Growth Index Fund (primarily equity-based) 292,198,374 0 292,198,374
Vanguard Institutional Index Fund Plus (primarily equity-based) 942,205,806 0 942,205,806
Vanguard Short-Term Bond Index Fund (primarily bond-based) 303,584,442 0 303,584,442
Vanguard Small-Cap Growth Index Fund (primarily equity-based) 610,536,115 0 610,536,115
Vanguard Value Index Fund (primarily equity-based) 503,653,775 0 503,653,775
Microsoft Common Stock 844,237,956 0 844,237,956
Collective trusts – LifePath Funds 0 1,711,617,668 1,711,617,668
Unitized accounts
Fidelity Contrafund Units 1,067,829,315 0 1,067,829,315
Fidelity Growth Company Units 1,136,108,553 0 1,136,108,553
Separately managed accounts
Artisan Mid Cap Account
Common stock 827,238,489 0 827,238,489
Other 30,636,874 0 30,636,874
PIMCO Total Return Account
Mutual funds 129,498 509,071,511 509,201,009
Russell International Growth Account
Common stock 613,731,738 0 613,731,738
Other 33,611,044 (8,942 ) 33,602,102
Russell International Value Account
Common stock 436,128,387 0 436,128,387
Other 20,774,933 1,681,611 22,456,544
DFA Small/Mid Cap Value Account
Common stock 439,574,256 0 439,574,256
Other 1,794,975 0 1,794,975
Brokerage accounts
Mutual funds 68,603,668 6,371,600 74,975,268
Certificates of deposit 0 2,177,715 2,177,715
U.S Government notes and bonds 760,153 97,704 857,857
Corporate notes and bonds 0 1,424,764 1,424,764
Common & preferred stock 191,673,697 451,907 192,125,604
Cash 91,294,405 0 91,294,405
Options & rights/warrants 0 2,298,067 2,298,067
Total $ 8,907,580,652 $ 2,235,183,605 $ 11,142,764,257

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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 Fund (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 (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
PIMCO Total Return Account
Mutual funds 294,323 540,366,741 540,661,064
Oakmark Equity & Income Account
Cash 204,392 0 204,392
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

No significant transfers occurred between Level 1 and Level 2 for the years ended December 31, 2013 and 2012.

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, 2013 and 2012. These derivative instruments are a component of the “Other” caption of separately managed accounts in Note 6.

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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 Net assets per 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 2013 — $ 11,254,841,130 $ 8,698,654,776
Less: benefits payable (2,212,269 ) (2,548,528 )
Net assets per the Form 5500 $ 11,252,628,861 $ 8,696,106,248

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

December 31, — Benefits paid to participants per the financial statements 2013 — $ 629,548,820 $ 482,895,341
Plus: (decrease) increase in benefits payable at year end (336,259 ) 636,577
Benefits paid to participants per the Form 5500 $ 629,212,561 $ 483,531,918

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, 2013

Identity of Issue, borrower, lessor, or similar party Current Value
BROKERAGE ACCOUNTS
BrokerageLink 365,153,680 $ 365,153,680
COMMON COLLECTIVE TRUSTS
BlackRock LifePath Index 2020 17,486,776 218,317,741
BlackRock LifePath Index 2030 44,880,451 592,702,146
BlackRock LifePath Index 2040 44,687,083 616,767,055
BlackRock LifePath Index 2050 14,846,070 212,757,762
BlackRock LifePath Index Retirement 6,010,681 71,072,964
UNITIZED ACCOUNTS
Fidelity Contrafund Units * 81,320,342 1,067,829,315
Fidelity Growth Company Units * 84,483,141 1,136,108,553
EMPLOYER STOCK
Microsoft Common Stock * 22,567,173 844,237,956
MUTUAL FUNDS
Fidelity Institutional Money Market Fund * 438,521,103 438,521,103
PIMCO All Asset All Authority 313,634 3,104,983
PIMCO Inflation Response Multi-Asset Fund 1,044,168 9,648,113
Vanguard Growth Index Fund 6,103,998 292,198,374
Vanguard Institutional Index Fund Plus 5,565,961 942,205,806
Vanguard Short-Term Bond Index Fund 28,940,366 303,584,442
Vanguard Small-Cap Growth Index Fund 17,737,830 610,536,115
Vanguard Value Index Fund 16,912,484 503,653,775
SEPARATELY MANAGED ACCOUNTS
Artisan Mid Cap Account
Mutual Funds
SSBK GOVT STIF FUND 30,540,900 30,540,901
Publicly-traded Common Stock
ALEXION PHARMACEUTICALS 119,024 15,837,333
AMETEK INC NEW 295,243 15,550,449

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ANSYS INC 77,786 6,782,939
APPLIED MATERIALS INC 1,244,004 22,006,431
ARM HOLDINGS PLC SPON ADR 322,821 17,671,222
ATHENAHEALTH INC 128,406 17,270,607
AUTODESK INC 178,581 8,987,982
BORGWARNER INC 442,429 24,736,205
CABELAS INC 100,464 6,696,930
CABOT OIL & GAS CORP 383,768 14,874,848
CEPHEID INC 333,275 15,570,608
CERNER CORP 435,669 24,284,190
CHART INDUSTRIES INC 96,384 9,218,166
CHIPOTLE MEXICAN GRILL 28,375 15,117,633
CIGNA CORP 252,568 22,094,649
COMMVAULT SYSTEMS INC 149,443 11,190,292
CONCUR TECHNOLOGIES INC 150,245 15,502,279
CORE LABORATORIES NV 31,126 5,949,736
COVANCE INC 132,960 11,708,458
CREE INC 103,305 6,463,794
CTRIP.COM INTL LTD ADR 179,388 8,901,233
DISCOVER FIN SVCS 437,922 24,501,736
FLIR SYSTEMS INC 215,674 6,491,787
FORTUNE BRANDS HOME & SEC 415,382 18,982,957
FOSSIL GROUP INC 85,930 10,306,444
FREESCALE SEMICONDUCTOR 610,228 9,794,159
GARMIN LTD 188,044 8,721,189
GARTNER INC 94,402 6,707,262
GREEN MTN COFFEE ROASTERS 55,000 4,156,900
GROUPON INC CLASS A 395,702 4,657,413
GUIDEWIRE SOFTWARE INC 60,201 2,954,063
IHS INC CL A 249,997 29,924,641
ILLUMINA INC 155,216 17,169,994
INCYTE CORP 254,152 12,867,716
INTERCONTINENTALEXCHNGE G 49,729 11,185,047
IPG PHOTONICS CORP 165,039 12,808,677
ISIS PHARMACEUTICALS CO 423,028 16,853,436
KANSAS CITY SOUTHERN 108,437 13,451,068
LINKEDIN CORP CL A 98,125 21,276,444
LKQ CORP 472,041 15,530,149
LPL FIN HLDGS INC 135,639 6,379,102
LULULEMON ATHLETICA INC 34,011 2,007,669
MELCO CROWN ENTERTNMT ADR 178,629 7,005,829
METTLER-TOLEDO INTL INC 42,808 10,384,793
NOBLE ENERGY INC 206,700 14,078,337

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OCEANEERING INTL INC 176,509 13,923,030
PALL CORP 109,158 9,316,635
PANDORA MEDIA INC 360,360 9,585,576
RALPH LAUREN CORP 80,249 14,205,678
RED HAT INC 261,722 14,666,901
REGENERON PHARMACEUTICALS 134,122 36,915,739
ROCKWELL AUTOMATION INC 143,414 16,945,798
SALESFORCE.COM INC 231,560 12,779,796
SERVICENOW INC 79,000 4,424,790
SINA CORP 75,224 6,337,622
TRACTOR SUPPLY CO. 232,247 18,017,722
TRIMBLE NAVIGATION LTD 590,629 20,494,826
TRIPADVISOR INC 80,124 6,636,671
TWITTER INC 57,834 3,681,134
UNDER ARMOUR INC CL A 118,446 10,340,336
URBAN OUTFITTERS 75,525 2,801,978
VERISK ANALYTICS INC 188,760 12,405,307
WASTE CONNECTIONS INC 233,386 10,182,631
WILLIAMS-SONOMA INC 205,538 11,978,755
WORKDAY INC CL A 85,146 7,080,741
Artisan Mid Cap Account Total 857,875,363
DFA Small Mid Value Account
Mutual Funds
SSBK STIF FUND 1,794,974 1,794,960
Publicly-traded Common Stock
1 800 FLOWERS.COM CL A 6,700 36,247
1ST UNITED BANCORP INC 10,788 82,097
AAR CORP 16,180 453,202
AARONS INC A 6,770 199,038
ABERCROMBIE & FITCH CL A 19,100 628,581
ABM INDUSTRIES INC 21,000 600,390
ACCO BRANDS CORP 5,800 38,976
ACETO CORP 10,923 273,184
ACTUATE CORP 1,500 11,565
ADVANCED ENERGY INDU INC 15,963 364,914
AEGION CORP 15,647 342,513
AEROCENTURY CORP 600 10,308
AEROFLEX HLDG CORP 3,000 19,500
AFFYMETRIX INC 94,230 807,551
AGILYSYS INC 1,319 18,360
AH BELO CORP CL A 7,747 57,870
AIR TRANSPORT SVCS GROUP 6,589 53,305

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AIRCASTLE LTD 35,900 687,844
ALAMO GROUP INC 4,787 290,523
ALASKA AIR GROUP INC 22,323 1,637,839
ALBANY INTL CORP CL A 11,600 416,788
ALBANY MOLECULAR RESEARCH 8,109 81,739
ALERE INC 33,404 1,209,225
ALLEGHANY CORP DEL 1,039 415,558
ALLEGHENY TECH INC 54,200 1,931,146
ALLIANCE ONE INTL INC 7,200 21,960
ALLIANT TECHSYSTEMS INC 8,392 1,021,139
ALMOST FAMILY INC 1,900 61,427
AMCOL INTERNATIONAL CORP 12,459 423,357
AMEDISYS INC 12,521 183,182
AMERESCO INC-CL A 2,600 25,116
AMERICAN CAP LTD 185,036 2,893,963
AMERICAN EQY INVT LIFE HL 22,197 585,557
AMERICAN FINL GROUP OHIO 36,063 2,081,556
AMERICAN RAILCAR INDS INC 1,961 89,716
AMERICAN SUPERCONDUCTOR 39,000 63,960
AMERICAS CAR MART INC 9,700 409,631
AMERIS BANCORP 8,777 185,282
AMERISAFE INC 6,300 266,112
AMKOR TECHNOLOGY INC 66,172 405,634
AMTECH SYSTEMS INC 1,525 10,614
ANDERSONS INC 27,577 2,459,041
ANGIODYNAMICS INC 9,083 156,137
ANIKA THERAPEUTICS INC 4,300 164,088
APOLLO EDUCATION GRP CL A 45,511 1,243,361
APPLIED INDU TECH INC 5,445 267,295
APPROACH RESOURCES INC 5,151 99,363
ARC DOCUMENT SOLUTIONS 16,500 135,630
ARGAN INC 5,452 150,257
ARGO GROUP INTL 16,291 757,369
ARRIS GROUP INC 39,500 962,418
ARROW ELECTRONICS INC 38,268 2,076,039
ARROW FINANCIAL CORP 1,300 34,528
ASCENA RETAIL GROUP INC 3,232 68,389
ASCENT CAPITAL GROUP INC 3,904 334,026
ASHLAND INC 8,500 824,840
ASPEN INSURANCE HLDGS LTD 54,120 2,235,697
ASSOCIATED BANC CORP 67,707 1,178,102
ASSURANT INC 30,632 2,033,046
ASTEC INDUSTRIES INC 34,356 1,327,172

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ASTORIA FINANCIAL CORP 39,486 546,091
ATLAS AIR WORLD 63,953 2,631,666
ATWOOD OCEANICS INC 26,259 1,401,968
AUTOLIV INC 6,555 601,749
AVIAT NETWORKS INC 27,555 62,274
AVIS BUDGET GROUP 44,047 1,780,380
AVNET INC 55,970 2,468,837
AVX CORP 18,608 259,209
AXCELIS TECHNOLOGIES INC 63,000 153,720
AXIS CAPITAL HOLDINGS LTD 42,084 2,001,936
BALTIC TRADING LTD 12,273 79,038
BANC OF CALIFORNIA INC 4,666 62,571
BANCFIRST CORP 2,900 162,574
BANCORP INC DEL 12,250 219,398
BANCORPSOUTH INC 37,040 941,557
BANK MUTUAL CORP 10,116 70,913
BANKFINANCIAL CORP 1,100 10,076
BANKRATE INC 28,717 515,183
BANNER CORP 2,500 112,050
BAR HARBOR BANKSHARES 434 17,356
BARNES GROUP INC 25,800 988,398
BASIC ENERGY SERVICES INC 17,051 269,065
BBCN BANCORP INC 30,816 511,237
BEL FUSE INC NV CL B 2,918 62,183
BELDEN INC 21,779 1,534,331
BEMIS INC 10,027 410,706
BENCHMARK ELECTRONICS INC 17,175 396,399
BERKLEY (WR) CORP 6,227 270,190
BERKSHIRE HILLS BANCORP 2,895 78,947
BGC PARTNERS INC CL A 148,300 898,698
BIG 5 SPORTING GOODS CORP 8,661 171,661
BIGLARI HLDGS INC 484 245,214
BILL BARRETT CORP 10,706 286,707
BIO RAD LABS CL A 2,793 345,243
BLUCORA INC 16,706 487,147
BOB EVANS FARMS INC 28,300 1,431,697
BOINGO WIRELESS INC 3,000 19,230
BOLT TECHNOLOGY CORP 1,999 43,998
BONANZA CREEK ENERGY INC 8,800 382,536
BOSTON PRIVATE FINL HLDG 29,521 372,555
BOULDER BRANDS INC 19,120 303,243
BRIDGEPOINT EDUCATION INC 17,738 314,140
BRISTOW GROUP INC 1,672 125,500

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BROADRIDGE FINANCIAL SOL 35,940 1,420,349
BROCADE COMM SYS 162,064 1,437,508
BROOKLINE BANCORP INC 28,668 274,353
BROWN SHOE CO INC 27,400 771,036
BRYN MAWR BANK CORP 3,100 93,558
C&J ENERGY SERVICES INC 22,257 514,137
CABOT CORP 46,506 2,390,408
CACI INTL INC CL A 9,505 695,956
CAL DIVE INTL INC 555,530 1,116,615
CALIX NETWORKS INC 5,000 48,200
CALLAWAY GOLF CO 27,812 234,455
CALLON PETROLEUM CO 14,930 97,493
CAMBREX CORP 7,300 130,159
CAMDEN NATIONAL CORP 800 33,776
CAPITAL BANK FINL SER A 10,500 238,875
CAPITAL SOUTHWEST CORP 3,577 124,730
CAPITALSOURCE INC 352,048 5,058,930
CAPITOL FED FINL (2ND STE 60,409 731,553
CAREER EDUCATION CORP 24,247 138,208
CARPENTER TECHNOLOGY CORP 191 11,880
CARRIAGE SERVICES INC 100 1,953
CARRIZO OIL & GAS INC 3,452 154,546
CARROLS RESTAURANT GROUP 5,200 34,372
CASELLA WASTE SYS CL A 7,718 44,764
CASH AMERICA INTL INC 75,570 2,894,331
CATHAY GENERAL BANCORP 28,553 763,222
CATO CORP CL A 11,900 378,420
CBEYOND INC 12,400 85,560
CBIZ INC 1,700 15,504
CDI CORP 2,900 53,737
CENTER BANCORP INC 700 13,132
CENTERSTATE BANKS INC 6,625 67,244
CENTRAL EUROPEAN MED CL A 47,888 183,890
CENTRAL PACIFIC FIN CORP 13,924 279,594
CENTURY ALUMINUM COMPANY 34,476 360,619
CHECKPOINT SYSTEMS INC 16,577 261,419
CHEMICAL FINANCIAL CORP 6,337 200,693
CHEMTURA CORP NEW 38,368 1,071,235
CHICAGO RIVET & MACHINE C 300 9,945
CHILDRENS PL RETAIL STORE 9,116 519,339
CHIQUITA BRANDS INTL INC 25,200 294,840
CHURCHILL DOWNS INC 2,133 191,223
CIBER INC 2,600 10,764

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CIENA CORP 40,800 976,344
CIRCOR INTERNATIONAL INC 29,470 2,380,587
CITI TRENDS INC 100,762 1,712,954
CLIFFS NATURAL RESOURCES 62,568 1,639,907
CLOUD PEAK ENERGY INC 85,400 1,537,200
CNB FINANCIAL CORP PA 2,100 39,900
COBIZ FINANCIAL INC 13,516 161,651
COCA COLA BOTTLING CO CON 1,400 102,466
COHERENT INC 233 17,333
COHU INC 8,000 84,000
COLUMBIA BANKING SYS INC 20,122 553,556
COLUMBIA SPORTSWEAR CO 5,663 445,961
COLUMBUS MCKINNON CORP NY 7,600 206,264
COMFORT SYSTEMS USA INC 14,500 281,155
COMMERCIAL METALS CO 47,300 961,609
COMMUNITY BANK SYS INC 13,404 531,871
COMMUNITY HEALTH SYS NEW 27,800 1,091,706
COMMUNITY TR BANCORP INC 999 45,115
COMTECH TELECOM NEW 8,200 258,464
CON WAY INC 19,379 769,540
CONMED CORP 58,097 2,469,123
CONSOLIDATED GRAPHICS INC 3,900 263,016
CONSOLIDATED WATER CO LTD 5,400 76,140
CONVERGYS CORP 146,730 3,088,667
CORELOGIC INC 38,901 1,382,153
CORE-MARK HOLDING CO INC 5,750 436,598
CORINTHIAN COLLEGES INC 6,900 12,282
COURIER CORP 2,300 41,607
COWEN GROUP INC A 46,002 179,868
CPI AEROSTRUCTURES INC 900 13,536
CRAFT BREW ALLIANCE INC 2,497 41,001
CROSS COUNTRY HEALTHCARE 10,500 104,790
CSG SYSTEMS INTL INC 24,310 714,714
CUBIC CORP 6,358 334,812
CULP INC 800 16,360
CUMULUS MEDIA INC CL A 2,200 17,006
CURTISS WRIGHT CORPORATIO 19,233 1,196,870
CVB FINANCIAL CORP 37,956 647,909
CYNOSURE INC CL A 4,310 114,991
DARLING INTL INC 40,545 846,580
DAWSON GEOPHYSICAL CO 3,578 121,008
DEAN FOODS CO 37,860 650,813
DESTINATION XL GROUP INC 20,171 132,523

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DEVRY EDUCATION GROUP INC 24,505 869,928
DIAMOND FOODS INC 8,658 223,723
DIGI INTERNATIONAL INC 7,600 92,112
DIGITAL GENERATION INC 10,861 138,478
DIGITAL RIVER INC 32,800 606,800
DIGITALGLOBE INC 30,602 1,259,272
DIME COMMUNITY BANCSHARES 13,904 235,256
DIODES INC 19,040 448,582
DORAL FINANCIAL CORP 1,600 25,056
DOUGLAS DYNAMICS INC 6,077 102,215
DOVER MOTORSPORTS INC 4,100 10,291
DSP GROUP 11,600 112,636
DUCOMMUN INC 4,700 140,107
DYCOM INDUSTRIES INC 66,350 1,843,867
DYNAMIC MATERIALS CORP 4,981 108,287
E TRADE FINANCIAL CORP 117,297 2,303,713
EAGLE BULK SHIPPING INC 5,714 26,227
ECHELON CORP 4,600 9,890
ELECTRO RENT CORP 600 11,112
ELECTRO SCIENTIFIC INDS 184,701 1,931,972
ELECTRONICS FOR IMAGING 18,965 734,514
ELLIS (PERRY) INTL INC 6,300 99,477
EMERGENT BIOSOL 16,200 372,438
EMPLOYERS HOLDINGS INC 11,074 350,492
EMULEX CORP 71,680 513,229
ENCORE CAP GROUP INC 19,250 967,505
ENCORE WIRE CORPORATION 5,828 315,878
ENDEAVOR INTL CORP 18,326 96,212
ENDURANCE SPECIALTY HLDGS 31,500 1,848,105
ENERGEN CORP 14,900 1,054,175
ENERGIZER HOLDINGS INC 4,497 486,755
ENERGY XXI (USA) 16,548 447,789
ENERSYS INC 17,800 1,247,602
ENGILITY HOLDINGS INC 4,579 152,939
ENPRO INDUSTRIES INC 8,332 480,340
ENSIGN GROUP INC 12,300 544,521
ENSTAR GROUP LTD 10,000 1,389,100
ENTEGRIS INC 53,610 621,876
ENTERCOM COMM CORP CL A 3,400 35,734
ENTERPRISE FINL SVCS CORP 5,995 122,418
ENTROPIC COMM INC 266,400 1,254,744
EPL OIL & GAS INC 17,900 510,150
EPLUS INC 3,350 190,414

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ESB FINANCIAL CORP 1,225 17,395
ESCALADE 1,300 15,301
ESPEY MFG.&ELECTRIC 749 24,447
ESSA BANCORP INC 3,403 39,339
ESTERLINE TECH CORP 12,633 1,288,061
EVEREST REINSURANCE GROUP 900 140,283
EXACTECH INC 1,440 34,214
EXELIS INC 75,747 1,443,738
EXTERRAN HLDGS INC 26,882 919,364
EXTREME NETWORKS INC 67,015 469,105
EZCORP INC CL A NON VTG 103,000 1,204,070
FAB UNVL CORP 7,136 21,908
FARO TECHNOLOGIES INC 2,981 173,792
FBL FIN GROUP INC CL A 2,800 125,412
FEDERAL AGRI MTG NON VTG 2,300 78,775
FEDERAL MOGUL CORP CL A 28,153 554,051
FELCOR LODGING TR REIT 900 7,344
FIDELITY SOUTHERN CORP 2,813 46,724
FINISAR CORP 7,115 170,191
FINISH LINE INC CL A 10,151 285,954
FIRST BANCORP NC 2,400 39,888
FIRST BUSEY CORP 16,863 97,805
FIRST CITIZEN BANCSHARES 71 15,807
FIRST COMMONWEALTH FINL 36,151 318,852
FIRST COMMUNITY BANCSHARE 1,008 16,834
FIRST DEFIANCE FINL CORP 400 10,388
FIRST FIN NORTWEST INC 3,499 36,285
FIRST FINANCIAL BANCORP 30,850 537,716
FIRST FINANCIAL INDIANA 900 32,904
FIRST HORIZON NATIONAL 89,018 1,037,060
FIRST INTST BANCSYST CL A 6,120 173,624
FIRST MERCHANTS CORP 11,209 255,117
FIRST MIDWEST BANCORP DEL 30,670 537,645
FIRST NIAGARA FINL GROUP 116,144 1,233,449
FIRST SOURCE CORP 1,300 41,522
FLAGSTAR BANCORP INC 17,102 335,541
FLUSHING FINANCIAL CORP 8,100 167,670
FNB CORP PA 59,315 748,555
FORBES ENERGY SVCS LTD(US 2,000 6,540
FORESTAR GROUP INC 39,723 844,908
FORMFACTOR INC 28,100 169,162
FOSTER L B CO CL A 3,870 183,012
FRANKLIN FIN CORP/VA 700 13,846

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FREDS INC CL A 17,200 318,544
FREIGHTCAR AMERICA INC 4,386 116,755
FRESH DEL MONTE PRODUCE 26,760 757,308
FRONTIER COMM CORP 246,100 1,144,365
FTD COS INC 11,820 385,096
FTI CONSULTING INC 382 15,715
FUEL SYS SOLUTIONS INC 117,608 1,631,223
FULTON FINANCIAL CORP 77,294 1,011,006
FURMANITE CORP 7,800 82,836
FUTUREFUEL CORP 13,049 206,174
G & K SERVICES INC CL A 6,225 387,382
GAIN CAPITAL HOLDINGS INC 14,500 108,895
GANNETT INC 89,159 2,637,323
GATX CORP 1,026 53,526
GENCO SHIPPING & TRADING 15,251 38,128
GENERAL COMM CL A 1,100 12,265
GENESCO INC 9,330 681,650
GENWORTH FINANCIAL INC A 192,113 2,983,515
GERMAN AMERICAN BANCORP 2,000 57,000
GERON CORP 32,400 153,576
GFI GROUP INC 210,946 824,799
GIBRALTAR INDUSTRIES INC 8,300 154,297
G-III APPAREL GROUP LTD 8,190 604,340
GLACIER BANCORP INC 44,500 1,325,655
GLATFELTER 16,763 463,329
GLOBAL CASH ACCESS HLDGS 11,620 116,084
GLOBAL GEOPHYSICAL SVS 9,301 14,975
GLOBAL INDEMNITY PLC 400 10,120
GLOBAL POWER EQUIPMENT GR 5,600 109,592
GORDMANS STORES INC 6,738 51,680
GRAFTECH INTL LTD 192,549 2,162,325
GRAHAM HOLDINGS CO 1,527 1,012,890
GRANITE CONSTRUCTION INC 60,575 2,118,914
GRAPHIC PACKAGING HLDGS C 7,993 76,733
GRAY TELEVISION INC 20,326 302,451
GREAT LAKES DREDGE & DOCK 13,711 126,141
GREAT SOUTHERN BANCORP 3,400 103,394
GREATBATCH INC 9,363 414,219
GREEN DOT CORP CLASS-A 46,300 1,164,445
GREEN PLAINS RNWABLE ENRG 10,900 211,351
GREENBRIER COMPANIES INC 10,591 347,808
GREENLIGHT CAPITAL RE A 5,600 188,776
GREIF INC CL A 6,652 348,565

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GRIFFON CORP 8,844 116,829
GROUP 1 AUTOMOTIVE INC 9,972 708,211
GUESS INC 41,500 1,289,405
GULF ISLAND FABRICATION 4,217 97,919
GULFMARK OFFSHORE CLASS A 11,094 522,860
HACKETT GROUP INC 12,100 75,141
HANCOCK HOLDING CO 26,241 962,520
HANMI FIN CORPORATION 9,800 214,522
HANOVER INSURANCE GROUP 17,900 1,068,809
HARDINGE INC 4,000 57,880
HARMAN INTL IND INC NEW 51,550 4,219,368
HARMONIC INC 52,200 385,236
HARTE-HANKS INC 21,565 168,638
HARVARD APPARATUS REGENER 2,750 13,063
HARVARD BIOSCIENCES INC 11,000 51,700
HARVEST NATURAL RESOURCES 14,556 65,793
HAVERTY FURNITURE COS INC 9,000 281,700
HAWAIIAN HLDGS INC 20,285 195,345
HAWAIIAN TELCOM HOLDCO 4,008 117,715
HAYNES INTL INC 2,900 160,196
HCC INSURANCE HLDGS INC 40,901 1,887,172
HEALTHWAYS INC 13,384 205,444
HEARTLAND FIN USA INC 5,200 149,708
HECLA MINING CO 15,978 49,212
HEIDRICK & STRUGGLES INTL 7,045 141,886
HELEN OF TROY LTD 8,700 430,737
HELIX ENERGY SOL GRP INC 13,091 303,449
HERBALIFE LTD 26,100 2,054,070
HERITAGE FIN CORP WASH 6,360 108,820
HHGREGG INC 12,045 168,269
HICKORY TECH CO 3,600 46,188
HOMESTREET INC 4,255 85,100
HORACE MANN EDUCATORS 16,151 509,403
HORNBECK OFFSHORE SVCS 6,800 334,764
HORSEHEAD HOLDING CORP 17,036 276,154
HOUSTON WIRE & CABLE CO 2,500 33,450
HUTCHINSON TECHNOLOGY INC 7,130 22,816
IBERIABANK CORP 23,700 1,489,545
ICF INTERNATIONAL INC 7,691 266,955
ICU MEDICAL INC 2,662 169,596
II-VI INC. 25,479 448,430
IMATION CORP 5,202 24,345
IMPAX LABORATORIES INC 28,147 707,616

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IMPERIAL HOLDINGS INC 7,700 50,358
INDEPENDENT BANK MASS 3,441 134,853
INFINITY PPTY & CASUALTY 2,158 154,837
INGLES MARKETS INC-CL A 5,171 140,134
INGRAM MICRO INC CL A 54,857 1,286,945
INGREDION INC 603 41,281
INSTEEL INDUSTRIES INC 7,206 163,792
INTEGRA LIFESCIENCES HLDS 9,479 452,243
INTEGRATED DEVICE TECH 49,600 505,424
INTEGRATED SILICON SOLUTN 9,600 116,064
INTELIQUENT INC 44,100 503,622
INTELSAT SA 86,847 1,957,531
INTER PARFUMS INC 3,800 136,078
INTERACTIVE BROKERS GROUP 20,216 492,057
INTERNATIONAL BANCSHARES 26,657 703,478
INTERNATIONAL GAME TECH 40,948 743,616
INTERNATIONAL RECTIFIER 28,922 753,997
INTERNATIONAL SHIPHOLDING 2,200 64,900
INTERNATIONAL SPEEDW A (1 8,700 308,763
INTERSIL CORPORATION CL A 58,200 667,554
INTEVAC INC 7,720 57,360
INTL FCSTONE INC 6,402 118,693
INTRALINKS HLDGS INC 15,532 188,093
INVACARE CORP 11,924 276,756
INVESTMENT TECH GROUP INC 33,200 682,592
IRIDIUM COMM INC 28,717 179,768
ISLE CAPRI CASINOS INC 11,400 102,600
ITRON INC 1,781 73,787
IXYS CORP DEL 1,900 24,643
J2 GLOBAL INC 63,547 3,177,985
JABIL CIRCUIT INC 82,807 1,444,154
JAMES RIVER COAL CO 1,500 2,025
JETBLUE AIRWAYS CORP 29,462 251,900
JOS A BANKS CLOTHIERS INC 863 47,232
JOY GLOBAL INC 2,165 126,631
KADANT INC 3,704 150,086
KAMAN CORP 43,837 1,741,644
KAPSTONE PAPER & PCKGING 6,374 356,052
KAR AUCTION SERVICES INC 97,522 2,881,775
KELLY SERVICES INC CL A 16,564 413,106
KEMPER CORP 15,306 625,709
KEY ENERGY SERVICES INC 190,253 1,502,999
KIMBALL INTL INC CL B 11,193 168,231

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KINDRED HEALTHCARE INC 21,972 433,727
KIRKLANDS INC 7,600 179,892
KMG CHEMICALS INC 600 10,134
KNIGHT TRANSPORTATION INC 32,696 599,645
KNIGHTSBRIDGE TANKERS LTD 9,503 87,333
KORN/FERRY INTL 19,900 519,788
KRATOS DEFENSE & SEC SOLT 22,181 170,350
KULICKE & SOFFA INDU INC 129,595 1,723,614
KVH INDUSTRIES INC 800 10,424
LA Z BOY INC 21,424 664,144
LAKELAND BANCORP INC 2,500 30,925
LAKELAND FINANCIAL CORP 4,603 179,517
LAYNE CHRISTENSEN CO 63,551 1,085,451
LEAPFROG ENTERPRISES CL A 24,891 197,635
LEAR CORP NEW 32,919 2,665,451
LEGG MASON INC 50,411 2,191,870
LEIDOS HOLDINGS INC 18,890 878,196
LEXMARK INTL INC CL A 36,700 1,303,584
LHC GROUP INC 6,635 159,505
LIBERTY VENTURES SER A 8,275 1,014,432
LIFE TIME FITNESS INC 17,274 811,878
LIFETIME BRANDS INC 4,300 67,639
LORAL SPACE & COMMUNIC 48,742 3,947,127
LSB INDUSTRIES INC 8,252 338,497
LSI INDUSTRIES INC 1,746 15,138
M D C HOLDINGS INC 2,323 74,894
MAGELLAN HLTH SVCS INC 10,969 657,153
MAGNACHIP SEMICONDUCTOR 13,815 269,393
MAIDEN HLDGS LTD 32,080 350,634
MAINSOURCE FINACIAL GROUP 1,003 18,084
MANNING & NAPIER INC CL A 7,200 127,080
MANPOWERGROUP INC 19,100 1,639,926
MANTECH INTL CORP CL A 9,475 283,587
MARCUS CORP 1,500 20,160
MARLIN BUSINESS SVCS CORP 900 22,680
MARRIOTT VACATIONS WORLD 14,800 780,848
MARTEN TRANSPORT LTD 13,300 268,527
MARVELL TECH GROUP LTD 200,976 2,890,035
MASTEC INC 71,100 2,326,392
MATERION CORP 47,200 1,456,120
MATRIX SERVICE CO 10,669 261,070
MATSON INC 17,285 451,311
MATTHEWS INTL CORP CL A 7,069 301,210

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MAXWELL TECHNOLOGIES INC 11,331 88,042
MB FINANCIAL INC 22,397 718,720
MBIA INC 38,307 457,386
MCDERMOTT INTL INC 105,624 967,516
MCEWEN MINING INC 43,625 85,505
MCG CAPITAL CORP 15,000 66,000
MCGRATH RENTCORP 8,138 323,892
MEADWESTVACO CORP 25,438 939,425
MEDALLION FINANCIAL 4,717 67,689
MEDASSETS INC 1,267 25,125
MEDICAL ACTION IND INC 1,700 14,552
MEDICINES CO 1,999 77,201
MENS WEARHOUSE INC 24,092 1,230,619
MENTOR GRAPHICS CORP 38,859 935,336
MERCANTILE BANK CORP 700 15,106
MERCHANTS BANCSHARES INC 656 21,976
MERCURY SYSTEMS INC 138,042 1,511,560
MEREDITH CORP. 9,162 474,592
MERIT MEDICAL SYSTEMS INC 16,512 259,899
MERITOR INC 27,221 283,915
METHANEX CORP (USD) 37,800 2,239,272
MICROSEMI CORP 37,450 934,378
MILLER ENERGY RESOURCES 16,994 119,638
MILLER INDU INC TENN 3,900 72,657
MINERALS TECHNOLOGIES INC 3,428 205,920
MITCHAM INDUSTRIES INC 900 15,939
MKS INSTRUMENTS INC 2,761 82,664
MOBILE MINI INC 6,200 255,316
MODINE MANUFACTURING CO 18,994 243,503
MOLINA HEALTHCARE INC 18,666 648,644
MOLYCORP INC 33,082 185,921
MONARCH CASINO & RESORT 5,503 110,500
MOOG INC CL A 26,112 1,774,049
MRC GLOBAL INC 52,198 1,683,907
MUELLER INDUSTRIES INC 8,678 546,801
MULTI COLOR CO. 4,330 163,414
MYERS INDUSTRIES 13,087 276,397
MYR GROUP INC/DELAWARE 57,916 1,452,533
NABORS INDUSTRIES LTD 145,078 2,464,875
NACCO INDUSTRIES INC CL A 500 31,095
NATIONAL HEALTHCARE CORP 2,200 118,602
NATIONAL PENN BANCSHARES 753 8,531
NATIONAL WESTERN LIF CL A 200 44,710

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NATURAL GAS SVCS GROUP 2,300 63,411
NATUS MEDICAL INC 11,610 261,225
NAVIGANT CONSULTING INC 13,746 263,923
NAVIGATORS GROUP INC 2,400 151,584
NBT BANCORP INC 2,956 76,560
NEENAH PAPER INC 4,800 205,296
NELNET INC CL A 52,200 2,199,708
NEOPHOTONICS CO 6,700 47,302
NETGEAR INC 55,656 1,833,309
NEWFIELD EXPLORATION CO 55,442 1,365,536
NEWPARK RESOURCES INC 118,300 1,453,907
NEWPORT CORP 3,200 57,824
NN INC 6,420 129,620
NORTHERN OIL AND GAS INC 6,651 100,231
NORTHFIELD BANCORP NEW 22,998 303,574
NORTHWEST BANCSHARES INC 36,612 541,125
NORTHWEST PIPE CO 1,600 60,416
NOVATEL WIRELESS INC 13,943 33,045
NUTRACEUTICAL INTL CORP 3,300 88,374
NUVASIVE INC 17,376 561,766
OASIS PETROLEUM INC 38,904 1,827,321
OCEANFIRST FINANCIAL CORP 1,320 22,612
OCLARO INC 31,707 78,950
OFG BANCORP 17,758 307,924
OIL STATES INTL INC 22,535 2,292,260
OLD NATIONAL BANCORP (IND 40,753 626,374
OLD REPUBLIC INTL CORP 54,409 939,643
OLIN CORP 33,550 967,918
OLYMPIC STEEL INC 4,100 118,818
OM GROUP INC 79,304 2,887,459
OMEGA PROTEIN CORP 8,800 108,152
OMNICARE INC 42,276 2,551,779
OMNICELL INC 14,235 363,420
OMNIVISION TECH INC 128,900 2,217,080
OMNOVA SOLUTIONS INC 6,700 61,037
ONE LIBERTY PROPERTIES 418 8,414
ONEBEACON INSURANCE GROUP 3,100 49,042
OPLINK COMMUNICATIONS INC 5,181 96,367
ORBITAL SCIENCES CORP 45,040 1,049,432
ORCHIDS PAPER PRODUCTS CO 335 11,001
ORION ENERGY SYSTEMS INC 3,100 21,080
ORION MARINE GROUP INC 7,800 93,834
ORITANI FINL CORP NEW 12,579 201,893

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ORMAT TECHNOLOGIES INC 10,753 292,589
OSHKOSH CORP 29,075 1,464,799
OWENS AND MINOR INC 25,627 936,923
PACER INTERNATIONAL INC 12,500 103,250
PACIFIC BIOSCIENES OF CAL 23,300 121,859
PACIFIC CONTINENTAL CORP 800 12,752
PACIFIC DRILLING SA (US) 2,642 30,277
PACIFIC MERCANTILE BANCOR 1,600 9,952
PACIFIC PREMIER BANCORP 716 11,270
PACWEST BANCORP 18,098 764,098
PANHANDLE OIL & GAS CL A 1,100 36,751
PANTRY INC 15,700 263,446
PARK ELECTROCHEMICAL CORP 2,900 83,288
PARK NATIONAL CORP 2,772 235,814
PARK STERLING CORP 7,362 52,565
PARKER DRILLING CO 48,983 398,232
PARTNERRE LTD 21,049 2,219,196
PATRIOT TRANSPORTATION HL 760 31,548
PATTERSON-UTI ENERGY INC 101,753 2,576,386
PC CONNECTION INC 5,800 144,130
PDC ENERGY INC 4,792 255,030
PENFORD CORP 1,300 16,705
PENN VIRGINIA CORP. 25,400 239,522
PENSKE AUTOMOTIVE GROUP 6,726 317,198
PEOPLES BANCORP INC 1,100 24,761
PEOPLES UNITED FIN INC 119,608 1,808,473
PERCEPTRON INC 3,029 42,012
PERICOM SEMICONDUCTOR 7,421 65,750
PHARMERICA CORP 17,800 382,700
PHI INC NON VTG 800 34,720
PHOTOMEDEX INC 7,170 92,852
PHOTRONIC INC 188,303 1,700,376
PIKE CORP 16,700 176,519
PINNACLE FINL PARTNERS 5,508 179,175
PIONEER ENERGY SVCS CORP 44,100 353,241
PIPER JAFFRAY COS 38,855 1,536,715
PLATINUM UNDERWRITERS HLD 12,800 784,384
PLEXUS CORP 13,743 594,934
PMC-SIERRA INC 61,400 394,802
PMFG INC 7,385 66,834
POLYCOM INC 175,255 1,968,114
POWELL INDUSTRIES INC 1,455 97,470
PRESTIGE BRANDS HLDGS INC 20,909 748,542

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PRIMERICA INC 18,130 777,958
PRIVATEBANCORP INC 30,940 895,094
PROASSURANCE CORPORATION 20,300 984,144
PROTECTIVE LIFE CORP 15,407 780,519
PROVIDENT FIN HLDGS INC 1,200 18,000
PROVIDENT FIN SVCS INC 14,200 274,344
PTGI HOLDING INC 4,800 13,680
QEP RESOURCES INC 6,677 204,650
QLOGIC CORP 35,800 423,514
QUAD/GRAPHICS INC CL A 13,354 363,629
QUANEX BUILDING PRODUCTS 14,421 287,266
QUANTA SVCS INC 56,294 1,776,639
QUANTUM CORP 3,300 3,960
QUINSTREET INC 16,796 145,957
RADIOSHACK CORP 38,195 99,307
RADISYS CORP 1,500 3,435
RED ROBIN GOURMET BURGERS 2,600 191,204
REGAL-BELOIT CORP 9,200 678,224
REINSURANCE GROUP OF AMER 27,195 2,105,165
RELIANCE STEEL & ALUMINUM 31,460 2,385,926
RENASANT CORP 4,599 144,685
RENEWABLE ENERGY GROUP 13,034 149,370
RENT A CTR INC 20,773 692,572
REPUBLIC AIRWAYS HLDGS 7,800 83,382
REPUBLIC BANCORP KY CL A 5,500 134,970
RESOURCES CONNECTION INC 16,295 233,507
REX AMERICAN RESOURCES 4,000 178,840
RICK’S CABARET INTL INC 2,759 31,949
ROADRUNNER TRANSPORTATION 15,060 405,867
ROCKVILLE FINANCIAL INC 10,250 145,653
ROCKY BRANDS INC 600 8,742
ROFIN SINAR TECH INC 2,900 78,358
ROGERS CORP 6,947 427,241
ROUNDYS INC 13,900 137,054
ROWAN COMPANIES PLC 95,192 3,365,989
RPX CORP 21,311 360,156
RTI INTL METALS INC 41,270 1,411,847
RTI SURGICAL INC 15,200 53,808
RUBICON TECHNOLOGY INC 8,107 80,665
RUBY TUESDAY INC 134,501 932,092
RUSH ENTERPRISES INC CL A 4,322 128,147
RYDER SYSTEM INC 19,200 1,416,576
RYLAND GROUP INC 10,027 435,272

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S & T BANCORP 5,189 131,334
SAFETY INSURANCE GROUP 5,031 283,245
SANCHEZ ENERGY CORP 18,636 456,768
SANDERSON FARMS INC 9,403 680,119
SANDRIDGE ENERGY INC 112,127 680,611
SANDY SPRING BANCORP INC 9,445 266,255
SANFILIPPO (JOHN B) & SON 500 12,340
SANMINA CORP 33,971 567,316
SCANSOURCE INC 7,168 304,138
SCHAWK INC CL A 3,100 46,097
SCHNITZER STEEL INDS CL A 10,682 348,981
SCHOLASTIC CORP 3,400 115,634
SCICLONE PHARMACEUTICALS 15,209 76,653
SCORPIO TANKERS INC 47,405 558,905
SCRIPPS (EW) CO CL A 18,451 400,756
SEABOARD CORP 24 67,079
SEACHANGE INTL INC 16,164 196,554
SEACOAST BANKING FLORIDA 3,260 39,772
SEACOR HOLDINGS INC 7,871 717,835
SELECT MEDICAL HLDGS CORP 40,079 465,317
SELECTIVE INSURANCE GROUP 22,770 616,156
SEMGROUP CORP-CLASS A 3,773 246,113
SENSIENT TECH CORP 7,302 354,293
SHENANDOAH TELECOM CO 9,342 239,809
SHILOH INDUSTRIES 6,300 122,850
SHIP FINANCE INTL (NY) 4,813 78,837
SHOE CARNIVAL 5,200 150,852
SHORETEL INC 33,400 309,952
SHULMAN A INC 10,088 355,703
SHUTTERFLY INC 5,702 290,403
SIERRA BANCORP 700 11,263
SIGMA DESIGNS INC 11,800 55,696
SIGNET JEWELERS LTD (US) 25,719 2,024,085
SILGAN HOLDINGS INC 1,600 76,832
SILICON IMAGE INC 27,410 168,572
SIMMONS 1ST NATL CL A 4,900 182,035
SIMPSON MANUFACTURING CO 19,145 703,196
SKECHERS USA INC CL A 19,200 636,096
SKULLCANDY INC 21,900 157,899
SKYWEST INC 36,100 535,363
SKYWORKS SOLUTIONS INC 39,006 1,114,011
SM ENERGY CO 3,400 282,574
SMITH MICRO SOFTWARE INC 1,900 2,812

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SNYDERS LANCE INC 14,048 403,459
SOLTA MED INC 14,400 42,480
SONIC AUTOMOTIVE INC CL A 15,862 388,302
SONIC CORP 7,700 155,463
SONUS NETWORKS INC 92,700 292,005
SOUTHSIDE BANCSHARES INC 2,000 54,680
SOUTHWEST BANCORP OKLA 7,062 112,427
SPANSION INC CL A 26,870 373,224
SPARTAN MOTORS INC 8,200 54,940
SPARTAN STORES INC 7,602 184,577
SPECTRUM PHARMACEUTICAL 25,567 226,268
SPIRIT AIRLINES INC 27,650 1,255,587
STANCORP FINL GROUP INC 17,932 1,187,995
STATE AUTO FINANCIAL CORP 500 10,620
STATE BANK FINANCIAL CORP 64,502 1,173,291
STEEL DYNAMICS INC 110,400 2,157,216
STEIN MART INC 4,600 61,870
STEINER LEISURE LTD 1,495 73,539
STELLUS CAP INVT CORP 2,600 38,870
STERLING BANCORP/DE 24,208 323,661
STEWART INFORMATION SVCS 8,323 268,583
STIFEL FINANCIAL CORP 26,368 1,263,555
STILLWATER MINING CO 55,272 682,056
STONE ENERGY CORP 20,434 706,812
STONERIDGE INC 11,395 145,286
STR HOLDINGS INC 4,700 7,379
SUN BANCORP INC NJ 3,998 14,073
SUNCOKE ENERGY INC 28,300 645,523
SUPER MICRO COMPUTER INC 16,015 274,817
SUPERIOR ENERGY SVCS INC 65,195 1,734,839
SUPERIOR INDUSTRIES INTL 2,200 45,386
SUSQUEHANNA BANCSHARES PA 75,882 974,325
SUSSER HOLDINGS CORP 8,314 544,484
SVB FINL GROUP 14,530 1,523,616
SY BANCORP INC 3,100 98,952
SYKES ENTERPRISES INC 17,748 387,084
SYMETRA FINANCIAL CORP 48,130 912,545
SYNNEX CORP 15,344 1,034,186
TAL INTL GROUP INC 12,628 724,216
TARGACEPT INC 15,300 63,495
TCF FINANCIAL CORPORATION 14,678 238,518
TECH DATA CORP 15,429 796,136
TEEKAY CORP 12,694 609,439

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TELECOMMUNICATION SYST A 18,455 42,816
TELEDYNE TECHNOLOGIES INC 11,889 1,092,124
TELENAV INC 15,600 102,804
TELEPHONE & DATA SYS INC 38,716 998,098
TERRITORIAL BANCORP INC 2,566 59,531
TESCO CORP 15,193 300,518
TETRA TECHNOLOGIES INC 83,663 1,034,075
TEXAS CAPITAL BANCSHARES 1,157 71,965
TEXTAINER GROUP HLDGS LTD 6,489 260,988
TIDEWATER INC 15,810 937,059
TILLY’S INC 600 6,870
TIMKEN CO 14,295 787,226
TITAN INTERNATIONAL INC 96,112 1,728,094
TITAN MACHINERY INC 50,900 907,038
TOWN SPORTS INTL HLDGS 900 13,284
TOWNE BANK 1,400 21,546
TRC COMPANIES INC 1,500 10,710
TREEHOUSE FOODS INC 11,938 822,767
TRIANGLE CAPITAL CORP 1,353 37,410
TRICO BANCSHARES 4,500 127,665
TRINITY INDUSTRIES INC 25,955 1,415,067
TRIPLE-S MANAGEMENT CL B 11,300 219,672
TRIQUINT SEMICONDUCTOR 63,771 531,850
TRIUMPH GROUP INC 23,650 1,799,056
TRUSTCO BANK CORP NY 29,367 210,855
TRUSTMARK CORP 27,416 735,845
TRW AUTOMOTIVE HLDGS CORP 8,050 598,840
TTM TECHNOLOGIES INC 28,756 246,726
TUTOR PERINI CORP 19,248 506,222
TWIN DISC INC 4,160 107,702
UGI CORP NEW 17,808 738,320
ULTRA CLEAN HOLDINGS INC 3,000 30,090
ULTRAPETROL BAHAMAS LTD 17,106 63,976
UMPQUA HOLDINGS CORP 45,724 875,157
UNIFIRST CORP 1,230 131,610
UNION FIRST MARKET BANKSH 8,482 210,438
UNIT CORP 46,689 2,410,086
UNITED BANKSHARES INC. W 18,738 589,310
UNITED FINL BANCORP INC 2,900 54,781
UNITED FIRE GROUP INC 5,200 149,032
UNITED ONLINE INC 8,442 116,162
UNITED RENTALS INC 36,297 2,829,351
UNITED STATES CELLULAR 5,504 230,177

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UNITED STATES STEEL CORP 59,108 1,743,686
UNITED STATIONERS INC 7,266 333,437
UNIVERSAL ELECTRONICS INC 3,912 149,086
UNIVERSAL FOREST PRODUCTS 16,650 868,131
UNIVERSAL INSURANCE HLDGS 12,783 185,098
UNIVERSAL TECH INST INC 5,805 80,748
UNIVEST CORP PA 6,587 136,219
URS CORP NEW 30,439 1,612,963
US SILICA HOLDINGS INC 60,600 2,067,066
UTI WORLDWIDE INC 40,759 715,728
VAIL RESORTS INC 5,264 396,011
VALASSIS COMM INC 14,698 503,407
VALIDUS HOLDING 9,785 394,238
VALLEY NATL BANCORP 81,496 824,740
VALUECLICK INC 42,296 988,458
VCA ANTECH INC 36,210 1,135,546
VERIFONE SYSTEMS INC 42,504 1,139,957
VERSAR 3,100 14,973
VIAD CORP 6,800 188,904
VIASYSTEMS GROUP INC NEW 800 10,944
VIEWPOINT FINANCIAL GROUP 40,620 1,115,019
VILLAGE SUPER MKT CL CL A 400 12,404
VISHAY INTERTECHNOLOGY 157,842 2,092,985
VISHAY PRECISION GROUP 1,604 23,884
VISTEON CORP 19,367 1,585,964
VONAGE HOLDINGS CORP 10,190 33,933
VOXX INTERNATIONAL CORP 8,500 141,950
VSE CORP 1,600 76,816
W&T OFFSHORE INC 30,758 492,128
WASHINGTON BKG CO OAK HBR 5,510 97,692
WASHINGTON FEDERAL INC 44,291 1,031,537
WASHINGTON TR BANCORP INC 4,140 154,091
WATERSTONE FINANCIAL INC 3,197 35,487
WATTS WATER TECH INC CL A 11,709 724,436
WAYSIDE TECH GROUP INC 800 10,808
WEBMD HEALTH CORPORATION 1,500 59,250
WEBSTER FINANCIAL 35,126 1,095,229
WEIS MARKETS INC 1,400 73,584
WENDYS CO 160,508 1,399,630
WESBANCO INC 9,789 313,248
WESCO AIRCRAFT HLDGS INC 38,482 843,525
WEST BANCORPORATION INC 1,884 29,805
WEST MARINE INC 90,440 1,286,961

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WESTELL TECH INC CL A — WILEY (JOHN) & SONS CL A 3,100 — 9,464 12,555 — 522,413
WILLBROS GROUP INC 19,631 184,924
WILLIAMS CLAYTON ENERGY 3,668 300,593
WILSHIRE BANCORP INC 30,532 333,715
WINDSTREAM HOLDINGS INC 237,527 1,895,465
WINTHROP REALTY TRUST NEW 1,196 13,216
WINTRUST FINANCIAL CORP 15,831 730,126
WPX ENERGY INC 81,961 1,670,365
WSFS FINANCIAL CORP 3,300 255,849
XO GROUP INC 4,200 62,412
ZEP INC 3,260 59,202
ZIONS BANCORP 71,798 2,151,068
ZYGO CORPORATION 700 10,346
DFA Small Mid Value Account 441,369,231
PIMCO Total Return Account
Mutual Funds
HIGH YIELD PORTFOLIO INST 1,400,633 10,742,857
PAPS SR FLOATNG RATE PORT 88,054 904,310
PIMCO ASSET BACK SECS POR 1,029,944 12,338,728
PIMCO EMMERG MKTS FD INST 1,627,088 16,173,253
PIMCO INTL PORT FUND(UNLI 9,375,141 42,656,891
PIMCO INV GRD PORT(UNLST) 7,400,222 77,628,327
PIMCO MTG PORT INSTL CL(U 13,451,128 141,229,545
PIMCO MUNI SECTR PORT INS 675,892 5,285,473
PIMCO REAL RETRN BD FD IN 7,583,308 67,036,445
PIMCO SHORT TERM PORT INS 1,158,443 11,039,962
PIMCO SHORT TM FLT NAV PO 4,399,401 44,045,295
PIMCO US GOVT SECTOR PORT 9,183,746 79,990,425
SSBK GOVT STIF FUND 129,493 129,498
PIMCO Total Return Account Total 509,201,009
Russell International Growth Account
Forward Currency Contracts
CURRENCY CONTRACT – CAD 243 (1 )
CURRENCY CONTRACT – USD (4,779,366 ) (8,941 )
Futures
CAC40 10 EURO FUT JAN14 C 36 9,905
FTSE 100 IDX FUT MAR14 Z 51 3,378
HANG SENG INDEX FUT JAN14 6 3,056
IBEX 35 INDX FUT JAN14 IB 5 (172 )
S&P/TSX 60 IX FUT MAR14 P 18 4,745

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SPI 200 FUT MAR14 XPH4 17 (3,036
TOPIX FUT MAR14 TPH4 48 61,533
Mutual Funds
SSBK GOVT STIF FUND 36,507,708 36,507,708
Publicly-traded Common Stock
ABB LTD (REG) (SWIT) 81,463 2,144,220
ABERDEEN ASSET MGMT PLC 191,957 1,617,395
ADIDAS AG 26,191 3,337,908
ADIDAS AG 12,497 1,592,678
AFREN PLC 207,562 581,561
AFRICAN MINERALS LTD (UK) 150,944 495,537
AGILE PROPERTY HLDGS LTD 2,182,000 2,338,370
AIA GROUP LTD 492,400 2,470,160
AIA GROUP LTD 155,600 780,579
AIA GROUP LTD 302,188 1,515,948
AIA GROUP LTD 460,060 2,307,924
AIR FRANCE KLM (REGD) 153,288 1,599,723
AIRASIA BHD 2,051,715 1,376,780
AIRBUS GROUP NV 10,182 781,752
AIXTRON SE 108,378 1,567,740
ALMACENES EXITO SA 56,304 875,192
ALSEA SAB DE CV 75,200 234,933
ALUMINA LTD 1,273,690 1,268,065
AMADEUS IT HLDGS SA CL A 243,878 10,435,820
AMVIG HOLDINGS LIMITED 3,832,860 1,823,924
ANGLO AMER PLC (SOAF) 20,990 458,218
ARCELIK AS 38,227 216,128
ARM HOLDINGS PLC 102,639 1,867,916
ARM HOLDINGS PLC 71,660 1,304,132
ARM HOLDINGS PLC 171,279 3,117,088
ASHTEAD GROUP PLC 143,190 1,802,078
ASHTEAD GROUP PLC 174,786 2,199,720
ASML HLDG NV (NY REG SHS) 22,430 2,101,691
ASML HOLDING NV (EURO) 5,394 504,893
ASPEN PHARMACARE HLDGS PL 26,037 666,984
ASSOCIATED BRITISH FOODS 26,755 1,092,823
ASTRO MALAYSIA HLDGS BHD 947,799 872,954
AURELIUS AG 27,323 1,108,853
AVIANCA HLDGS SA SNPR ADR 14,050 216,932
AXA SA 62,153 1,728,033
AXA SA 123,260 3,426,985
AXIATA GROUP BERHAD 181,100 381,147
AYALA LAND INC 3,327,550 1,854,884

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BAIDU INC SPON ADR 2,090 371,769
BAIDU INC SPON ADR 9,000 1,600,920
BANK OF NOVA SCOTIA(USD) 32,520 2,034,126
BANK RAKYAT INDONESIA TBK 558,000 332,416
BARRATT DEVELOPMENTS PLC 208,844 1,206,965
BAYER AG 12,789 1,793,691
BAYER AG 108,106 15,162,149
BEIERSDORF AG 63,601 6,443,198
BEIJING ENTERPRISES HLDGS 98,500 976,832
BG GROUP PLC 223,296 4,797,727
BG GROUP PLC 70,969 1,524,836
BHP BILLITON LTD 80,323 2,724,658
BOLSA MEXICANA DE VALORES 374,100 857,566
BOOKER GROUP PLC 184,492 496,453
BRENNTAG AG 11,671 2,163,518
BRIDGESTONE CORP 93,115 3,542,986
BS FINANCIAL GROUP INC 39,470 610,524
BURBERRY GROUP PLC 98,302 2,482,118
BW LPG LTD 0 0
CAE INC 111,820 1,422,159
CAESAR STONE SDOT YAM LTD 9,816 487,561
CALBEE INC 39,121 949,142
CAMECO INC 112,265 2,342,319
CANAD NATL RAIL CO (USD) 127,240 7,255,225
CANADIAN PAC RAILWAY (W/I 9,523 1,444,741
CASINO GUICHARD PERRACHON 14,338 1,652,345
CEMEX SAB DE CV SPON ADR 76,500 904,995
CETIP SA MERCADOS ORGANIZ 33,300 342,584
CHAILEASE HOLDING CO LTD 262,473 689,804
CHINA CONSTRUCTION BANK H 1,222,450 922,241
CHINA LONGYUAN POWER GROU 2,608,000 3,359,932
CHINA LONGYUAN POWER GROU 328,000 422,568
CHINA MOBILE LIMITED 52,500 544,343
CHINA UNICOM (HONG KONG) 2,432,000 3,638,136
CHINA ZHENGTONG AUT SER H 316,100 202,599
CHINATRUST FI(JPMS)(CWT)3 1,113,751 759,762
CHRISTIAN DIOR SA 10,853 2,050,700
CHRISTIAN HANSEN HLDGS SA 20,057 796,695
CJ O SHOPPING CO LTD 655 258,718
CNOOC LTD 400,000 743,845
COGNIZANT TECH SOLUT CL A 9,080 916,898
COMPASS GROUP PLC 673,180 10,790,803
COMPASS GROUP PLC 186,677 2,992,357

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COPA HOLDINGS SA CL A 2,800 448,308
COPA HOLDINGS SA CL A 23,360 3,740,170
COSAN LTD CL A 37,100 509,012
COUNTRYWIDE PLC 172,246 1,697,123
COVIDIEN PLC 10,274 699,659
COWAY CO LTD 23,416 1,472,753
CREDICORP LTD (USA) 3,450 457,919
CREDICORP LTD (USA) 10,491 1,392,470
CREDIT SUISSE GROUP AG 117,005 3,576,847
CRODA INTERNATIONAL PLC 31,448 1,279,515
CSL LIMITED 15,499 954,341
CSR CORP LTD H 751,000 615,963
CYBER AGENT INC 38,500 1,564,714
DAIKIN INDUSTRIES LTD 11,727 729,388
DANONE NEW 78,333 5,638,145
DENSO CORP 184,000 9,697,085
DENSO CORP 19,987 1,053,346
DIAGEO PLC 83,734 2,773,186
DIGITAL GARAGE INC 42,517 1,103,399
DOLLARAMA INC 21,152 1,756,477
DSV DE SAMMENSLUT VOGN 64,978 2,130,485
EATON CORP PLC 21,601 1,644,268
EDENRED 39,339 1,316,707
ELECTROLUX AB SER B 87,494 2,292,146
ELEKTA AB SER B 109,687 1,677,234
ELEMENT FINANCIAL CORP 96,700 1,274,465
EMAAR PROPERTIES 300,352 624,745
ENKA INSAAT VE SANAYI AS 32,073 89,846
ERSTE GROUP BANK AG 12,885 448,997
ESSILOR INTL SA(FRAN) 38,355 4,077,677
EURASIA DRILLING CO REGS 13,343 612,711
EUROFINS SCIENTIFIC SE 3,650 986,686
EXPERIAN PLC 53,137 986,377
EXPERIAN PLC 68,268 1,267,252
FIBRA UNO ADMINISTRACION 585,803 1,876,328
FMTC INR UNREALIZED G/L 1 (10,921 )
FRESENIUS SE & CO KGAA 15,825 2,429,582
GALAXY ENT GROUP LTD 115,000 1,031,460
GEMALTO NV (DUTCH) 23,990 2,640,573
GENEL ENERGY PLC 84,448 1,503,298
GINKO INTERNATIONAL(HSBC) 24,000 452,944
GINKO INTL CO LTD 46,190 871,729
GJENSIDIGE FORSIKRING ASA 51,405 980,588

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GLENCORE XSTRATA PLC 95,888 496,523
GLOBAL LOGISTIC PROPERTIE 726,000 1,662,617
GLOBAL LOGISTIC PROPERTIE 664,448 1,521,657
GN STORE NORDIC LTD 76,673 1,883,333
GREATVIEW ASEPTIC PACK CO 3,053,940 1,803,779
GRIFOLS 36,551 1,748,096
GRUPO FINANCIERO BANORTE 119,800 838,274
GRUPO TELEVISA (CPO) SPON 22,000 668,686
HALMA PLC 148,362 1,493,366
HAYS PLC 517,233 1,111,753
HDFC BANK LTD SPON ADR 74,484 2,565,229
HDFC BANK LTD SPON ADR 16,900 582,036
HEINEKEN NV 84,849 5,728,950
HENGAN INTL GRP CO LTD 219,000 2,587,003
HENGAN INTL GRP CO LTD 46,000 543,389
HENNES & MAURITZ AB B 133,820 6,162,688
HERMES MICROVISION INC (E 18,900 613,285
HOLCIM LTD (REG) 32,984 2,468,115
HONDA MOTOR CO LTD 171,000 7,063,432
HSBC HLDGS PLC (UK REG) 909,456 9,975,834
HSBC HLDGS PLC SPON ADR 38,201 2,106,021
HUGO BOSS AG 14,588 2,077,112
HULIC CO LTD 133,296 1,972,634
HYUNDAI GLOVIS CO LTD 10,161 2,237,735
HYUNDAI MOTOR CO 9,685 2,187,032
HYUNDAI MOTOR CO 3,690 833,262
ICICI BANK LTD (DEMAT) 25,328 450,018
ICICI BANK LTD SPONS ADR 3,300 122,661
ICICI BANK LTD SPONS ADR 80,330 2,985,866
INDOFOOD SUKSES MAKMR (DE 670,000 363,353
ING GROEP NV CVA 721,534 10,025,405
INGENICO 6,848 549,044
INPEX CORP 378,000 4,838,515
INTACT FINL CORP 19,521 1,274,815
ITAU UNIBANCO HLDG SA SPO 125,307 1,712,168
ITAU UNIBANCO HLDG SA SPO 65,000 888,146
ITC LTD (UBS) (CWT) 05/02 90,400 470,492
JAPAN TOBACCO INC 64,610 2,098,245
JAZZ PHARMA PLC 4,513 571,165
JBS SA 174,400 648,294
JULIUS BAER GRUPPE AG 73,225 3,516,573
KAKAKU.COM INC 34,344 602,349
KANAMOTO CO LTD 49,066 1,247,747

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KASIKORNBANK PCL NVDR 129,600 615,265
KB FIN GROUP INC ADR 7,800 320,078
KOMATSU LTD 167,000 3,388,842
KROTON EDUCACIONAL SA 40,800 678,948
KROTON EDUCACIONAL SA 32,639 543,142
LARGAN PREN CO LTD CWT 8/ 7,500 305,466
LG CHEMICAL LTD 2,243 644,818
LI & FUNG LTD 4,028,000 5,194,537
LIFE HEALTHCARE GROUP HLD 465,550 1,857,762
LINDE AG 45,272 9,469,779
LOCALIZA RENT A CAR SA 31,800 448,576
LUKOIL OIL CO SPONS ADR ( 1,724 108,819
LUKOIL OIL CO SPONS ADR ( 14,623 913,206
LVMH 35,532 6,481,670
LYONDELLBASELL INDS CLASS 19,830 1,591,952
M3 INC 400 1,000,855
MAGNIT OJSC (USD) 844 236,549
MAGNIT OJSC GDR REGS 6,709 444,136
MAIL.RU GROUP GDR 144A 1,500 66,900
MAIL.RU GROUP GDR REGS 11,983 534,442
MANULIFE FIN CORP (USD) 197,495 3,896,576
MARCOPOLO SA (PN) 21,400 46,419
MARUTI SUZKI(UBSAG)(CWT)2 13,924 397,163
MEDIATEK INC (UBS) (ELN) 64,400 957,424
MEGAFON OJSC GDR 0 0
METHANEX CORP 41,805 2,472,290
METHANEX CORP (USD) 4,997 296,022
METROPOLITAN BANK & TR CO 359,538 611,781
MICHAEL PAGE INTL PLC 282,141 2,279,992
MINOR INTERNATIONAL PCL 124,137 78,200
MONCLER SPA 47,447 1,031,311
MTN GROUP LTD 44,432 919,221
NAGACORP LTD 0 0
NASPERS LTD N SHS 11,219 1,172,177
NATIONAL GRID PLC 175,785 2,335,978
NESTLE SA (REG) 37,111 2,716,606
NESTLE SA (REG) 118,593 8,681,266
NEW ORIENTL ED&TECH GR IN 15,900 500,850
NEW ORIENTL ED&TECH GR IN 64,656 2,036,664
NICE SYSTEMS LTD SPON ADR 41,704 1,708,196
NINE DRAGONS PAPER (HLDGS 515,000 455,008
NOVARTIS AG (REG) 21,272 1,697,849
NOVATEK MICRO ELEC WT 4/1 31,500 128,824

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NOVO-NORDISK AS CL B 9,214 1,688,943
NOVOZYMES A/S B 42,461 1,792,324
NTN CORP 0 0
ONO PHARMACEUTICAL CO LTD 19,100 1,670,411
ORKLA ASA 174,973 1,365,097
OVERSEA-CHINESE BKG LTD 234,000 1,891,359
PACIFIC RUBIALES ENERGY 23,700 409,186
PACIFIC RUBIALES ENERGY 39,627 684,170
PANALPINA WELTTRNSPT HLDG 8,282 1,387,993
PARADISE CO LTD 16,467 415,682
PERNOD-RICARD 51,337 5,848,399
PING AN INSURANCE CO H 472,000 4,227,384
PING AN INSURANCE CO H 109,000 976,239
POSCO SPON ADR 2,600 206,248
POWSZECHNA KASA OSZCZ BK 54,516 711,349
PRADA SPA 267,000 2,375,843
PRUDENTIAL PLC 128,540 2,852,268
PTT GLOBAL CHEMICAL PCL ( 403,480 970,022
PTT PCL NVDR 33,500 291,570
PUREGOLD PRICE CLUB INC 1,212,680 1,043,342
QATAR NATIONAL BANK LTD 12,026 568,027
RAKUTEN INC (TOKYO) 122,500 1,823,948
RANDSTAD HOLDINGS NV 162,353 10,530,906
RENAULT SA ORD 20,003 1,608,435
RICHEMONT CIE FINANCIERE 20,257 2,016,503
RICHEMONT CIE FINANCIERE 10,686 1,063,748
ROBINSONS RETAIL HLDGS 910,722 1,132,249
ROCHE HLDGS GENUSSSCHEINE 6,872 1,919,738
ROCHE HLDGS GENUSSSCHEINE 7,309 2,041,817
ROLLS-ROYCE HOLDINGS PLC 90,030 1,900,836
ROLLS-ROYCE HOLDINGS PLC 54,881 1,158,722
ROLLS-ROYCE HOLDINGS PLC 159,914 3,376,322
SABMILLER PLC (UK) 52,094 2,675,079
SAFRAN (SOCIETE D APPLICA 23,506 1,633,352
SAFRAN (SOCIETE D APPLICA 32,615 2,266,306
SAMSONITE INTL S.A. 657,805 2,002,012
SAMSUNG ELEC VTG GDR 144A 4,890 3,209,391
SAMSUNG ELECTRONICS CO 1,642 2,145,577
SAMSUNG HEAVY INDS CO LTD 19,760 721,540
SAP AG 124,999 10,714,898
SAWAI PHARMACEUTICAL CO 12,209 788,351
SBERBANK OF RUSSIA (USD) 292,875 899,791
SCHNEIDER ELECTRIC SA 79,650 6,947,024

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SEADRILL LTD (NORW) 31,715 1,294,682
SEIKO HOLDINGS CORP 97,625 480,199
SEINO HOLDINGS CO LTD 60,750 636,286
SEMBCORP IND LTD 600,000 2,610,246
SENSATA TECH HOLDG BV 39,856 1,545,217
SEVEN & I HOLDINGS CO LTD 52,700 2,091,786
SHIN-ETSU CHEMICAL CO LTD 107,400 6,261,855
SHOPRITE HLDGS LTD 3,058 47,809
SK HYNIX INC 19,930 694,711
SKF AB SER B 62,179 1,630,883
SM INVESTMENTS CORP 20,312 325,266
SMC CORP 7,000 1,761,466
SOFTBANK CORP 37,900 3,310,987
SOFTBANK CORP 19,657 1,717,258
SOHU.COM INC 14,121 1,029,845
SOUTHERN COPPER CORP 11,000 315,810
ST JAMES PLACE PLC 169,622 2,044,847
STANDARD CHARTERED PLC (U 102,451 2,307,291
STANDARD CHARTERED PLC (U 375,095 8,447,484
SUGI HOLDINGS CO LTD 23,295 945,647
TAIHEIYO CEMENT CORP 903,150 3,464,748
TAIWAN SEMIC MFG CO SP AD 86,200 1,503,328
TAIWAN SEMIC MFG CO SP AD 461,155 8,042,543
TAIWAN SEMIC MFG CO SP AD 119,234 2,079,441
TAV HAVALIMANLARI HLDGS A 47,073 338,426
TECHNIP SA 18,472 1,775,277
TECHTRONIC INDU CO LTD 271,431 770,087
TELENOR AS 88,153 2,101,615
TELENOR AS 61,986 1,477,779
TENCENT HOLDINGS LIMITED 55,500 3,540,010
TENCENT HOLDINGS LIMITED 15,500 988,651
TENCENT HOLDINGS LIMITED 22,363 1,426,401
TEVA PHARMACEUTICAL IND A 54,465 2,182,957
TOKAI TOKYO FIN HLDGS 182,595 1,761,623
TOKIO MARINE HOLDINGS INC 41,926 1,399,391
TOKIO MARINE HOLDINGS INC 64,330 2,147,184
TOKYO TATEMONO CO 48,500 539,721
TOYOTA MOTOR CORP 55,900 3,407,825
TRANSURBAN GROUP STAPLED 356,781 2,233,174
TRICAN WELL SERVICE LTD 187,405 2,316,430
TS TECH CO LTD 26,468 890,980
TULLOW OIL PLC 68,101 964,199
TURKIYE GARANTI BANKASI A 87,578 283,640

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UBS AG (REGD) — ULTRA TECH (UBS) (CWT) 12 277,078 — 6,199 5,255,490 — 176,838
UNICREDIT SPA 401,339 2,970,417
UNILEVER PLC ORD 79,124 3,252,050
UNITED TRACTORS PT 957,500 1,494,864
VALE SA ADR 54,500 831,125
VALEO SA 18,136 2,006,704
VALLOUREC SA 56,154 3,059,142
VEDANTA RESOURCES PLC 186,736 2,886,620
VIPSHOP HLDGS LTD ADR 17,949 1,501,972
VISCOFAN SA 9,371 533,071
WOODSIDE PETROLEUM LTD 55,047 1,911,992
WUXI PHARMATECH CAYMAN SP 48,855 1,875,055
YANDEX NV CL A 13,500 582,525
YASKAWA ELEC CORP 32,609 514,944
YUM BRANDS INC 74,920 5,664,701
ZEE ENTERTAINMT ENT LTD(D 102,531 458,604
ZENKOKU HOSHO CO LTD 15,666 684,300
Russell International Growth Account Total 647,333,840
Russell International Value Account
Forward Currency Contracts
CURRENCY CONTRACT – USD (1,113,807 ) 1,055
Futures
FTSE 100 IDX FUT MAR14 Z 71 4,703
HANG SENG INDEX FUT JAN14 4 2,038
MINI MSCI EMG MKT MAR14 M 176 72,160
S&P/TSX 60 IX FUT MAR14 P 11 2,900
S&P500 EMINI FUT MAR14 ES 40 12,800
SPI 200 FUT MAR14 XPH4 11 (1,964 )
TOPIX FUT MAR14 TPH4 28 35,894
Mutual Funds
SSBK GOVT STIF FUND 22,764,566 22,764,566
Publicly-traded Common Stock
3I GROUP PLC 171,763 1,095,344
A P MOLLER – MAERSK A/S A 39 402,028
A P MOLLER – MAERSK S/A B 147 1,595,307
AAC TECH HLDGS INC 130,500 633,626
ABB LTD (REG) (SWIT) 161,963 4,263,092
ABB LTD (REG) (SWIT) 10,660 280,586
ACE LTD 10,025 1,037,888
ACS ACTIVIDADES CONST Y S 45,909 1,580,188
ACTELION LTD (REGD) 20,185 1,704,994

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AEGON NV 200,785 1,895,421
AEGON NV 216,732 2,045,962
AEON CO LTD 45,200 611,623
AGEAS (BELG) 13,610 579,485
AHOLD NV (KONINKLIJKE) 235,588 4,229,484
AHOLD NV (KONINKLIJKE) 51,500 924,574
AHOLD NV (KONINKLIJKE) 79,073 1,419,588
AKZO NOBEL NV 35,720 2,768,548
ALIMENTATION COUCH C CL B 15,700 1,180,622
ALLIANCE GLOBAL GROUP INC 896,200 520,765
ALLIANZ SE (REGD) 579 103,828
ALPARGATAS SA (PN) 68,680 430,842
AMADEUS IT HLDGS SA CL A 28,840 1,234,097
AMCOR LTD 32,618 307,265
AMEC PLC ORD 48,000 875,534
ANHEUSER BUSCH INBEV NV 11,575 1,230,267
AOYAMA TRADING CO LTD 15,200 410,347
ASAHI GROUP HOLDINGS LTD 19,100 541,478
ASAHI HOLDINGS INC 3,300 56,029
ASAHI KASEI CORP 74,000 579,014
ASSOCIATED BRITISH FOODS 6,172 249,892
ASTRAZENECA PLC (UK) 9,366 554,392
ATCO LTD CL I NON VTG 2,500 109,814
ATKINS (WS) PLC 4,441 104,281
AVEX GROUP HOLDINGS INC 11,400 244,649
AVIVA PLC 260,675 1,941,196
AXA SA 22,700 631,126
BAE SYSTEMS PLC 81,925 590,137
BAE SYSTEMS PLC 212,267 1,529,040
BAE SYSTEMS PLC 192,108 1,383,827
BALFOUR BEATTY PLC 195,400 928,330
BANCA IFIS SPA 1,406 25,048
BANCO POPULAR ESPANOL SA 99,450 599,927
BANCO SANTANDER SA (SPAIN 259,530 2,322,872
BANCO SANTANDER SA (SPAIN 31,563 282,498
BANK HAPOALIM LTD (REG) 82,892 464,358
BANK OF GEORGIA HLDGS PLC 1,779 70,555
BANK POLSKA KASA OPIEKI 17,781 1,056,484
BANRO WT 03/31/17 144A 5,616 0
BARCLAYS PLC ORD 341,600 1,538,346
BARRICK GOLD CORP (USA) 75,300 1,327,539
BASF SE 4,077 434,620
BASILEA PHARMACEUTICA AG 3,293 389,084

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BAYER AG 1,990 279,103
BEIJING ENTERPRISES HLDGS 122,000 1,209,884
BELGACOM SA 38,141 1,128,380
BENESSE HOLDINGS INC 29,900 1,199,577
BERENDSEN PLC 11,598 179,861
BHP BILLITON SPON ADR(AUS 9,900 675,180
BNP PARIBAS (FRAN) 25,140 1,959,246
BOLSA MEXICANA DE VALORES 403,600 925,190
BOMBARDIER CL B SUB VTG 0 0
BP PLC 329,302 2,661,374
BP PLC 465,475 3,761,906
BP PLC 109,317 883,485
BP PLC 82,333 665,404
BPOST SA 8,978 175,508
BRIDGESTONE CORP 11,100 422,350
BRITISH SKY BROADCAST GRP 43,680 610,481
BRITVIC PLC 58,568 671,626
BT GROUP PLC 164,511 1,042,831
BURSA MALAYSIA BHD 431,700 1,083,694
CANADIAN IMP BK OF COMMER 3,100 267,553
CANADIAN NAT’L RES (USD) 42,300 1,431,432
CANADIAN NATL RESOURCES 0 1,116
CANADIAN TIRE LTD A 8,300 777,375
CANON INC 111,000 3,578,435
CAP GEMINI SA 37,750 2,551,452
CARILLION PLC 206,725 1,131,388
CARREFOUR SA (SUPERMARCHE 45,608 1,807,624
CAVERION CORP 9,751 119,389
CENTAMIN PLC 144,164 106,353
CENTRICA PLC 125,528 722,757
CERVECERIAS UNIDAS SA CIA 46,764 558,907
CHAODA MODERN AGRIC(HLDGS 1,354,000 155,710
CHENG SHIN RUBBER INDUSTR 230,350 602,293
CHEUNG KONG HLDGS LTD 119,000 1,878,390
CHINA HONGXING SPORTS LTD 3,613,000 329,248
CHINA MOBILE LIMITED 113,500 1,176,818
CHINA MOBILE LIMITED 205,500 2,130,715
CHINA MOBILE LIMITED 124,500 1,290,871
CITIZEN HOLDINGS CO LTD 8,600 72,354
CKD CORP 2,100 22,753
CNH INDUSTRIAL NV(IT) 29,900 340,790
CNP ASSURANCES 22,616 463,581
COCA COLA WEST COMPANY 25,100 535,797

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COCA-COLA ICECEK SANAYI A 22,398 539,366
COMMERZBANK AG 38,962 627,656
CONTAINER (MACQUARIE)(CWT 60,674 716,187
CONTINENTAL AG 10,000 2,192,866
CONTINENTAL AG 8,252 1,809,553
CREDIT AGRICOLE SA 112,797 1,443,902
CREDIT SUISSE GROUP AG 74,187 2,267,899
CTBC FINL HLDG CO LTD 1,570,115 1,071,077
DAI ICHI LIFE INSURANCE C 87,500 1,459,857
DAI NIPPON PRINTING CO 115,000 1,218,688
DAIMLER AG (GERW) 28,830 2,494,704
DANONE NEW 10,900 784,545
DANSKE BK AS 56,600 1,298,426
DCC PLC (UK) 26,875 1,321,314
DELHAIZE GROUP 13,613 809,024
DELTA ELECTRONICS IND CO 164,000 934,583
DENA CO LTD 2,100 44,110
DEUTSCHE BANK AG (GERW) 8,800 419,781
DEUTSCHE BOERSE AG 25,975 2,151,175
DEUTSCHE TELEKOM AG (REGD 257,992 4,411,651
DEUTZ AG 18,497 165,019
DEXUS PROPERTY GRP STAPLE 920,295 851,067
DIC CORP 102,000 312,848
DMCI HOLDINGS INC 657,690 829,519
DNO INTL ASA CL A 185,935 741,864
DOUTOR NICHIRES HLDGS CO 7,400 123,322
DRAGON OIL PLC (UK) 28,642 269,164
E.ON SE 62,425 1,152,054
E.ON SE 8,024 148,083
ELECTRICITE DE FRANCE 13,520 477,727
ENEL (ENTE NAZ ENERG ELET 284,950 1,244,226
ENEL (ENTE NAZ ENERG ELET 42,362 184,972
ENI SPA 106,200 2,555,277
ENI SPA 134,462 3,235,289
ENI SPA 3,908 94,030
ENN ENERGY HOLDINGS LTD 144,000 1,065,009
ENQUEST PLC (UK) 24,815 55,310
ERICSSON (LM) TELE C CL B 70,800 864,106
ETABLISSEMENTS MAUREL ET 27,830 465,363
EZAKI GLICKO CO LTD 35,000 395,499
FAIRFAX MEDIA LTD 467,854 267,358
FEDERAL BANK LTD CWT 442,716 601,719
FISCHER (GEORG) AG (REG) 713 501,550

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FLIGHT CENTRE TRVL GRP 17,881 759,181
FMTC INR UNREALIZED G/L 1 0
FOMENTO ECONO MEX(FEMSA)S 9,450 924,872
FORMOSA INTL HOTELS CORP 79,200 902,670
FUJI HEAVY INDUSTRIES LTD 25,300 724,333
FUJI OIL CO LTD 20,800 309,501
FUJIFILM HOLDINGS CORP 60,500 1,712,568
GAM HOLDING LTD 39,350 765,341
GAZPROM O A O SPON ADR (U 273,175 2,335,646
GDF SUEZ 11,377 267,560
GENTING BHD (MLAY) 253,100 792,071
GERRESHEIMER AG 6,038 422,218
GLAXOSMITHKLINE PLC 54,150 1,462,064
GLAXOSMITHKLINE PLC 148,640 4,010,482
GLAXOSMITHKLINE PLC 0 15,720
GLAXOSMITHKLINE PLC SPONS 0 17,742
GOLD FIELDS LTD 93,425 292,922
GOLDEN AGRI-RESOURCES LTD 384,000 165,839
GPT GROUP REIT STAPLED 281,697 881,100
GRAND KOREA LEISURE CO 22,830 897,154
GRASIM INDUS (CLSA) (CWT) 13,137 576,677
GREENCORE GROUP PLC (UK) 19,332 71,389
GROUPE STERIA SCA 12,578 246,922
GRUPO AEROPORT PACIFIC SA 0 5,835
GRUPO FINANCIERO BANORTE 84,600 591,970
HACHIJUNI BANK LTD 62,000 360,896
HALFORDS GROUP PLC 65,436 483,280
HANA FINANCIAL GROUP INC 33,960 1,420,194
HANA TOUR SERVICE INC 8,816 544,463
HENDERSON LAND DEVMT CO 80,000 456,521
HENKEL AG & CO KGAA ORD 6,403 666,283
HENKEL AG & CO KGAA ORD 1,121 116,649
HINO MOTORS LTD 3,000 47,061
HOME RETAIL GROUP PLC 302,010 964,719
HOME RETAIL GROUP PLC 178,923 568,576
HON HAI PREC IND CO REGS 92,983 494,670
HON HAI PRECISION IND CO 706,519 1,897,061
HONDA MOTOR CO LTD 74,700 3,085,604
HSBC HLDGS PLC (UK REG) 157,800 1,730,910
HSBC HLDGS PLC (UK REG) 109,701 1,203,312
HUANENG POWER INTL INC H 322,200 291,273
HYUNDAI DEPT STORES CO 6,179 946,113
HYUNDAI MIPO DOCKYARD 6,424 1,092,243

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IBERDROLA SA 633,953 4,042,319
IMPALA PLATINUM HLDGS LTD 16,000 187,607
IMPERIAL HLDGS LTD (SOAF) 19,170 370,261
IMPERIAL TOBACCO GROUP PL 62,700 2,427,500
IMPLENIA AG 3,312 241,517
INDRA SISTEMAS SA 69,500 1,162,154
INDRA SISTEMAS SA 92,176 1,541,333
INDUSTRIA MACCHINE AUTO ( 2,077 80,005
ING GROEP NV CVA 150,508 2,091,244
ING GROEP NV CVA 163,395 2,270,303
INPEX CORP 12,800 163,844
INTESA SANPAOLO SPA 170,900 421,782
IREN SPA 145,379 222,598
ITOCHU CORP 3,600 44,406
ITOCHU TECHNO-SOLUTIONS 10,900 441,444
ITV PLC 33,317 107,032
JAPAN AIRLINES CO LTD 23,200 1,143,367
JSE LIMITED 85,525 731,569
KANSAI ELECTRIC POWER CO 41,400 475,288
KAO CORP 110,200 3,497,184
KAO CORP 20,600 653,738
KAWASAKI KISEN KAISHA LTD 19,000 47,992
KBC GROUPE SA 18,000 1,021,457
KDDI CORP 39,400 2,420,644
KDDI CORP 1,800 110,588
KELLER GROUP PLC 10,740 204,349
KENTZ CORPORATION LIMITED 19,688 206,047
KINDEN CORPORATION 3,000 31,336
KONINKLIJKE PHILIPS NV 69,030 2,530,331
KRUNG THAI BANK (FOR) 525,577 263,908
KT CORP SPON ADR 65,800 1,036,548
LAGARDERE SCA (REG) 27,725 1,030,577
LEIGHTON HLDGS LTD 19,832 285,276
LINTEC CORP 2,500 46,244
LLOYDS BANKING GROUP PLC 345,856 451,762
LONZA GROUP AG 3,265 309,645
M DIAS BRANCO SA 14,800 632,795
MABUCHI MOTOR CO LTD 22,900 1,374,957
MAGNA INTL INC SUB VTG 22,700 1,861,304
MAKITA CORP 6,400 335,467
MARCOPOLO SA (PN) 332,000 720,148
MARUTI SUZUKI (CLSA)(CWT) 37,356 1,065,528
MEDIPAL HOLDINGS CORP 11,700 154,208

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MEIJI HOLDINGS CO LTD 4,800 308,119
MERCK KGAA 10,772 1,930,180
METALURGICA GERDAU SA PN 86,400 856,950
METRO AG 4,803 232,584
METROPOLE TEVEVISION SA ( 16,723 383,047
MINTH GROUP LTD 482,000 1,000,761
MITSUBISHI MATERIALS CORP 64,000 235,799
MITSUBISHI UFJ FINL GRP 186,300 1,227,730
MITSUBISHI UFJ FINL GRP 181,700 1,197,415
MMI HOLDINGS LTD 266,219 642,073
MONDI PLC 13,379 231,741
MS&AD INSURANCE GRP HLDGS 28,300 758,357
MS&AD INSURANCE GRP HLDGS 14,900 399,276
MS&AD INSURANCE GRP HLDGS 18,200 487,707
NAMPAK LTD 186,602 729,331
NATIONAL GRID PLC 281,395 3,739,411
NATIXIS 139,075 817,725
NCSOFT CORPORATION 5,878 1,386,923
NESTE OIL OYJ 8,838 174,717
NESTLE SA (REG) 13,000 951,628
NESTLE SA (REG) 32,109 2,350,449
NETEASE INC ADR 6,400 503,040
NEWS CORP NEW CL B 69,085 1,231,786
NINTENDO CO LTD 4,200 558,750
NIPPO CORP 5,000 82,946
NIPPON PAPER INDU CO LTD 30,100 558,498
NIPPON TELEGRAPH & TELEPH 36,600 1,967,107
NISHI-NIPPON CITY BANK 13,000 34,935
NISSHIN SEIFUN GROUP INC 18,200 187,859
NISSHINBO HOLDINGS INC 5,000 48,001
NKSJ HOLDINGS INC 66,400 1,843,639
NOKIAN TYRES OYJ 16,664 799,383
NORDEA BANK AB 66,260 892,656
NORTH PACIFIC BANK LTD 8,500 34,546
NOVARTIS AG (REG) 26,300 2,099,165
NOVARTIS AG (REG) 49,764 3,971,971
NOVARTIS AG (REG) 16,165 1,290,228
NOVARTIS AG (REG) 12,227 975,912
NTT DOCOMO INC 74,400 1,218,688
NTT DOCOMO INC 28,100 460,284
NTT DOCOMO INC 52,700 863,237
OKASAN SECURITIES GROUP 52,000 529,332
OKI ELECTRIC INDU CO LTD 39,000 91,843

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OMV AG 5,439 260,314
OPTIMAL PAYMENTS PLC 14,627 85,502
ORANGE 243,776 3,018,264
ORANGE 5,490 67,973
ORANGE 0 8,041
ORKLA ASA 156,700 1,222,535
OSRAM LICHT AG 19,639 1,107,712
OTSUKA HOLDINGS CO LTD 34,800 1,004,577
PACE PLC 77,046 405,973
PARTNERRE LTD 10,150 1,070,115
PERUSAHAAN GAS NEGARA PT 801,000 294,534
PLASTIC OMNIUM CIE 2,005 55,993
POWSZECHNY ZALKAD UBEZPIE 5,561 826,405
PREMIER FOODS PLC 77,107 159,607
PREMIER OIL PLC 101,092 524,977
PTT GLOBAL CHEMICAL PCL ( 356,200 856,354
PUBLIC BANK BHD (FOR) (ML 143,700 856,458
PUBLICIS GROUPE SA 17,978 1,644,948
QBE INSURANCE GROUP LTD 155,856 1,601,776
QINETIQ GROUP PLC 94,065 338,014
RANDSTAD HOLDINGS NV 3,450 223,782
REED ELSEVIER NV 102,750 2,176,839
REED ELSEVIER NV 140,012 2,966,263
RENAISSANCERE HLDGS LTD 10,550 1,026,937
REXAM PLC 40,162 352,816
RIO TINTO LTD 4,350 264,819
RIO TINTO PLC (REGD) 8,722 492,441
ROCHE HLDGS GENUSSSCHEINE 5,100 1,424,718
ROCHE HLDGS GENUSSSCHEINE 8,943 2,498,286
ROHM CO LTD 14,800 719,552
ROYAL BANK OF CANADA 22,000 1,478,955
ROYAL BANK OF SCOTLAND GR 249,625 1,397,592
ROYAL DUTCH SHELL PL CL A 14,675 525,632
ROYAL DUTCH SHELL PL CL A 6,833 244,746
ROYAL DUTCH SHELL PL CL A 99,637 3,550,814
ROYAL DUTCH SHELL PL CL A 95,928 3,418,635
ROYAL DUTCH SHELL PL CL A 4,884 174,054
ROYAL DUTCH SHELL PL CL B 33,012 1,246,390
ROYAL MAIL PLC 44,570 420,692
ROYAL UNIBREW AS 860 116,723
RTL GROUP SA (LUX) 3,184 411,435
RWE AG 47,612 1,742,623
RYOBI LTD 22,000 88,368

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SABMILLER PLC (UK) 14,759 757,890
SAINSBURY (J) PLC 0 5,249
SANKYO CO GUNMA (6417) 12,700 584,892
SANOFI 11,000 1,167,034
SANOFI 35,886 3,807,289
SANOFI 12,010 1,274,189
SANOFI 1,215 128,904
SBERBANK SPONSORED ADR 0 0
SCHNEIDER ELECTRIC SA 34,125 2,976,361
SCOR SE 1,024 37,423
SECOM CO LTD 18,500 1,113,759
SECURITY BANK CORP 294,901 767,805
SEIKO EPSON CORP 42,200 1,132,039
SEINO HOLDINGS CO LTD 18,000 188,529
SEVEN & I HOLDINGS CO LTD 63,700 2,528,402
SEVENTY SEVENTH BANK 5,000 24,167
SHANGHAI ELEC GROUP CO H 2,210,000 803,709
SHINDENGEN ELECTRIC CO 13,000 78,881
SHIN-ETSU CHEMICAL CO LTD 42,300 2,466,262
SHIRE PLC 44,469 2,100,168
SHISEIDO CO LTD 45,000 722,581
SIAM CITY CEMENT (FOR) 21,900 265,253
SIEMENS AG (REGD) 17,400 2,376,723
SIEMENS AG (REGD) 10,900 1,488,866
SINGAPORE TELECOM (SING) 517,000 1,527,300
SJM HOLDINGS LIMITED 55,000 184,414
SK HYNIX INC 26,630 928,257
SKANDINAVISKA ENSKI BK SE 89,163 1,175,560
SKY PERFECT JSAT HLDGS 63,300 342,016
SMC CORP 2,800 704,586
SMITH & NEPHEW PLC 118,100 1,683,838
SMURFIT KAPPA GROUP PLC ( 44,855 1,102,087
SOCIETE GENE PARIS CL A 21,419 1,244,060
SOCO INTL PLC 39,865 260,889
SOHGO SECURITY SVCS CO 2,900 57,609
SOHO CHINA LTD 956,000 823,553
SOJITZ CORPORATION 205,600 365,086
SONAE 298,696 431,051
ST GOBAIN CIE DE 60,879 3,347,956
STATOIL ASA 7,609 184,413
STMICROELECTRONICS NV(SIC 244,525 1,964,535
STOCK SPIRITS GROUP PLC 5,045 23,392
STORA ENSO AB R 1/10 VTG( 37,939 380,746

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SUMITOMO CHEMICAL CO LTD 173,000 676,821
SUMITOMO MITSUI FINL GROU 32,000 1,646,947
SUMITOMO MITSUI FINL GROU 4,500 231,602
SUMITOMO MITSUI TR HLDGS 80,000 420,853
SUMITOMO OSAKA CEMENT CO 113,000 433,501
SUMITOMO SEIKA CHEM CO 11,000 90,039
SUN HUNG KAI PROPERTIES 4,000 50,733
SUNCOR ENRGY INC 24,400 855,220
SUNCOR ENRGY INC 49,500 1,734,975
SVENSKA CELLULOSA AB CL B 14,879 458,040
SVG CAPITAL PLC 36,496 261,082
SWEDBANK AB A 41,538 1,168,929
SWIRE PACIFIC LTD CL A 61,000 715,074
SWISS LIFE HLDGS AG (NEW) 4,908 1,018,958
SWISS RE LTD 2,391 219,922
SWISSCOM AG (REG) 1,301 686,779
TAIWAN SEMIC MFG CO SP AD 24,860 433,558
TAIWAN SEMICONDUCT MFG CO 435,000 1,538,391
TAIWAN SEMICONDUCT MFG CO 226,000 799,256
TAKEDA PHARMACEUTICAL CO 64,900 2,973,531
TAKUMA CO LTD 34,000 297,351
TAMBANG BATUBARA BUKIT AS 100,298 84,062
TDC A/S 65,891 639,135
TE CONNECTIVITY LTD 1,450 79,910
TELECOM ITALIA SPA 1,510,900 1,498,631
TELECOM NEW ZEALAND 258,285 489,613
TELEFONICA SA 197,236 3,211,280
TESCO PLC 663,597 3,674,117
TESCO PLC 218,000 1,206,994
TESCO PLC SPON ADR 0 0
TEVA PHARMACEUTICAL IND 4,430 177,098
TEVA PHARMACEUTICAL IND A 97,500 3,907,800
TEVA PHARMACEUTICAL IND A 13,700 549,096
THE FOSCHINI GROUP LTD 7,306 69,303
THK CO LTD 43,200 1,076,411
THOMSON REUTERS CORP 2,400 90,758
TIGER BRANDS LTD 21,665 551,291
TNT EXPRESS NV 146,800 1,362,777
TNT EXPRESS NV 31,021 287,975
TOFAS TURK OTOMOBIL FABRI 91,128 568,225
TOKAI TOKYO FIN HLDGS 54,100 521,941
TOKIO MARINE HOLDINGS INC 80,000 2,670,212
TOKYO ELECTRON LTD 30,700 1,679,157

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TOPPAN PRINTING LTD 54,000 431,241
TORONTO-DOMINION BANK 17,400 1,639,834
TOSOH CORP 96,000 445,770
TOTAL SA (FRAN) 51,175 3,134,976
TOTAL SA (FRAN) 55,599 3,405,990
TOTAL SA (FRAN) 9,534 584,052
TOYO TIRE & RUBBER CO 77,000 444,554
TOYOTA MOTOR CORP 8,900 542,570
TOYOTA MOTOR CORP 4,600 280,429
TRAVELSKY TECH LTD H 633,000 624,486
TRAVIS PERKINS PLC 118,750 3,681,177
TSINGTAO BREWERY CO LTD H 58,000 490,296
TUI TRAVEL PLC 62,095 424,775
TURK SISE VE CAM FABRIKAL 703,402 890,299
UBISOFT ENTERTAINMENT SA 9,457 133,743
UBS AG (REGD) 89,700 1,701,389
ULVAC INC 4,000 52,721
UNILEVER NV CVA (BEARER) 30,350 1,222,304
UNILEVER PLC ORD 95,095 3,908,469
UNITED INTERNET AG (REG) 10,814 459,991
UNITED OVERSEAS BANK (LOC 144,385 2,430,158
UOL GROUP LIMITED 80,000 392,409
UPM KYMMENE CORP 26,585 449,116
USIMINAS PN (PFD REG) A S 182,800 1,101,023
VALEO SA 5,387 596,058
VALLOUREC SA 33,475 1,823,642
VODAFONE GROUP PLC 882,500 3,515,047
VODAFONE GROUP PLC 874,504 3,483,199
VODAFONE GROUP PLC 464,350 1,822,389
VODAFONE GROUP PLC SPON A 0 54,010
VOLKSWAGEN AG 9,957 2,697,106
WAKITA & CO LTD 21,000 246,871
WESTFIELD RETAIL TR STAPL 561,029 1,487,800
WHEELOCK & CO LTD 78,000 358,601
WHITBREAD PLC 0 1,086
WILMAR INTERNATIONAL LTD 241,000 653,132
WOLTERS KLUWER NV 48,635 1,387,989
WPP PLC NEW (UK) 74,801 1,709,361
WPP PLC NEW (UK) 90,337 2,064,391
YAHOO JAPAN CORP 20,000 111,101
YANGZIJIANG SHIPBLDG HLDG 447,000 419,743
ZURICH INSURANCE GROUP AG 12,628 3,659,367
HENKEL AG & CO KGAA PREF 2,402 278,597

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PROSIEBEN SAT.1 MEDIA AG 6,319 312,950
TELECOM ITALIA SPA RISP 1,391,219 1,089,009
KINROSS GOLD CORP 57,900 253,602
Russell International Value Account Total 458,584,931
Investments held by trustee 11,142,764,257
Participant Loans* Interest at 4.25% – 9.44%, maturing through February 2029 99,135,026
Total Investments $ 11,241,899,283
  • Party-in-interest

** Information not presented because investments are participant directed

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