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MICROSOFT CORP Regulatory Filings 2015

Jun 24, 2015

29734_rns_2015-06-24_bc11743c-8380-4706-b13a-7df67ecea7d8.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, 2014

¨ 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 as of and for the years ended December 31, 2014 and 2013, 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, 2015 /s/ J. Ritchie
J. Ritchie
Member of 401(k) Administrative Committee
Date: June 24, 2015 /s/ William J. Sample
William J. Sample
Member of 401(k) Administrative Committee
Date: June 24, 2015 /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, 2014 AND 2013;

NOTES TO FINANCIAL STATEMENTS; AND

SUPPLEMENTAL SCHEDULE OF ASSETS HELD AT END OF YEAR AS OF DECEMBER 31, 2014

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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, 2014 and 2013 2
Statements of Changes in Net Assets Available for Benefits for the Years Ended December 31, 2014 and
2013 3
Notes to Financial Statements 4
SUPPLEMENTAL SCHEDULE:
Supplemental Schedule of Assets Held at End of Year as of December 31, 2014 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, 2014 and 2013, 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, 2014 and 2013, 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.

The supplemental schedule of assets held at end of year as of December 31, 2014, has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental schedule is the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental schedule reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedule. In forming our opinion on the supplemental schedule, we evaluated whether the supplemental schedule, including its form and content, is presented in compliance with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, such schedule is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ DELOITTE & TOUCHE LLP

Seattle, Washington

June 24, 2015

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS

December 31, 2014 2013
ASSETS
Cash $ 5,672,423 $ 11,514,706
Investments held by trustee, at fair value 12,417,632,077 11,142,764,257
Receivables:
Participant loans 103,400,059 99,135,026
Other receivables 15,678,861 9,712,160
Total receivables 119,078,920 108,847,186
Total assets $ 12,542,383,420 $ 11,263,126,149
LIABILITIES
Operating payables $ 3,287,926 $ 2,045,169
Other payables 6,249,250 6,239,850
Total liabilities 9,537,176 8,285,019
NET ASSETS AVAILABLE FOR BENEFITS $ 12,532,846,244 $ 11,254,841,130

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, 2014 2013
ADDITIONS
Net investment income:
Interest and dividends $ 81,791,572 $ 67,642,828
Net increase in fair value of investments 845,412,137 2,152,942,701
Net investment income 927,203,709 2,220,585,529
Contributions and transfers in:
Participant contributions 810,491,649 732,357,141
Employer contributions 249,160,178 227,489,525
Transfers in 9,174,105 5,302,979
Contributions and transfers in 1,068,825,932 965,149,645
Total additions 1,996,029,641 3,185,735,174
DEDUCTIONS
Benefits paid to participants 718,024,527 629,548,820
INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS 1,278,005,114 2,556,186,354
NET ASSETS AVAILABLE FOR BENEFITS
Beginning of year 11,254,841,130 8,698,654,776
End of year $ 12,532,846,244 $ 11,254,841,130

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. Microsoft Licensing, GP was removed as a participating employer from the Plan as of August 1, 2014. 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, and is intended to be 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 (“U.S. 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 Roth basis using 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 basis and/or Roth basis. Additionally, all participants may contribute up to $20,000 annually on an after-tax basis. A participant’s aggregate contribution election (combined pre-tax, Roth, after-tax, pre-tax catch-up and 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.

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 Roth contribution rate). Participants are matched only on pre-tax and Roth contributions and do not receive a match on after-tax contributions or catch-up contributions. The maximum Company match is 3 percent of the participant’s eligible compensation, subject to regulatory limitations.

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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 for 2013.

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 and expenses. 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 without meeting one of the hardship criteria. After reaching age 59 1 / 2 , active participants may withdraw all, or any portion, of the balance in their accounts. Distributions, in full or any portion, 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: Active participants may convert their Plan distribution-eligible balances to their Roth account within the Plan.

Administrative Expenses: Plan administrative expenses are currently paid by the Company to the extent not offset by expense reimbursements. Certain PIMCO mutual fund investments 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.

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

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

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

Use of Estimates: The preparation of financial statements in conformity with U.S. 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, 2014 and 2013 consist primarily of unsettled trades and accrued interest. Other payables at December 31, 2014 and 2013 consist primarily of unsettled trades.

Recent Accounting Guidance Not Yet Adopted: In May 2015, the FASB issued ASU No. 2015-07, Fair Value Measurement (Topic 820): Disclosures for Investments in Certain Entities that Calculate Net Asset Value per Share (or its Equivalent) . Under this ASU, investments for which the practical expedient is used to measure fair value at NAV must be removed from the fair value hierarchy. Instead, those investments must be included as a reconciling line item so that the total fair value amount of investments in the disclosure is consistent with the amount on the balance sheet. Further, the ASU requires entities to provide certain disclosures only for investments for which they elect to use the NAV practical expedient to determine fair value. Plan management is currently evaluating the impact of ASU No. 2015-07, which will be effective for the Plan beginning January 1, 2016.

NOTE 2: INVESTMENTS

All contributions to the Plan are held and invested by Fidelity. 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, 2014 or 2013, were as follows:

December 31, 2014 2013
Fidelity Growth Company Pool $ 1,215,054,486 $ 0
Fidelity Growth Company Units (a) 0 1,136,108,553
Vanguard Institutional Index Fund Plus 1,182,292,434 942,205,806
Fidelity Contrafund Pool 1,081,016,516 0
Fidelity Contrafund Units (a) 0 1,067,829,315
Microsoft Common Stock 1,003,015,044 844,237,956
BlackRock LifePath Index 2040 750,564,971 616,767,055
BlackRock LifePath Index 2030 667,810,209 592,702,146
Vanguard Value Index Fund Institutional 652,532,096 *
Vanguard Small-Cap Growth Index Fund 637,103,769 610,536,115

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(a) On March 14, 2014, the Plan replaced the Fidelity Growth Company Units and Fidelity Contrafund Units (unitized accounts) with the Fidelity Growth Company Pool and Fidelity Contrafund Pool, respectively, which are collective trust investments.

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

During 2014 and 2013, net appreciation in the fair value of investments was as follows:

Year Ended December 31, 2014 2013
Collective trusts (a) $ 294,004,438 $ 210,956,769
Mutual funds 228,450,142 523,750,813
Microsoft Common Stock 200,223,671 259,882,315
Unitized accounts (a) 68,934,300 598,113,467
Separately managed accounts 37,753,823 521,465,516
Brokerage accounts 16,045,763 38,773,821
Total net appreciation in fair value of investments $ 845,412,137 $ 2,152,942,701

( a ) On March 14, 2014, the Plan replaced the Fidelity Growth Company Units and Fidelity Contrafund Units (unitized accounts) with the Fidelity Growth Company Pool and Fidelity Contrafund Pool, respectively, which are collective trust investments.

NOTE 3: PARTICIPANT LOANS

Participant loans are available in $100 increments ranging 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 from the Plan, and (2) the excess (if any) of all Plan loans during the previous 12 months over the current outstanding balance of Plan loans. Participants are limited to two loans – one Primary Residence Loan and one General Loan. The term of a Primary Residence Loan may not exceed 15 years or be less than 12 months from the first payment date. The term of a General Loan may not exceed five years or be less than 12 months from the first payment date.

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, 2014 was 4.25 percent to 9.44 percent, maturing at various dates through February 2030. The range of interest rates for outstanding General Loans as of December 31, 2014 was 4.25 percent to 9.25 percent, maturing at various dates through January 2020.

Loan repayments are made through after-tax 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.

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NOTE 4: TAX STATUS

The Internal Revenue Service (“IRS”) has determined and informed the Plan by a letter dated August 21 2014, 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 September 17, 2010 through August 5, 2014, and the trust agreement with Fidelity adopted on July 19, 2013. 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 in the Plan financial statements.

U.S. 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, 2014 and 2013, 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 2005 to 2014.

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, 2014 and 2013, the Plan held 21,593,435 shares of Microsoft Common Stock valued at $1,003,015,044 and 22,567,173 shares of Microsoft Common Stock valued at $844,237,956, respectively. During the years ended December 31, 2014 and 2013, the Plan recorded Microsoft Common Stock dividend income of $25,293,650 and $22,997,850, respectively.

NOTE 6: FINANCIAL INSTRUMENTS

The Plan accounts for certain assets and liabilities at fair value. The hierarchy below lists three levels of fair value based on the extent to which inputs used in measuring fair value are observable in the market. The Plan categorizes each of its 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

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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, including option pricing models and discounted cash flow models. At December 31, 2014 and 2013, the Plan did not hold any financial instruments in Level 3.

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Financial Instruments Measured at Fair Value

December 31, 2014 Level 1 Level 2 Total
Mutual funds
Fidelity Institutional Money Market Fund $ 425,857,163 $ 0 $ 425,857,163
PIMCO Inflation Response Multi-Asset Response (primarily bond-based) 11,450,944 0 11,450,944
PIMCO All Asset All Authority 7,573,435 0 7,573,435
Vanguard Growth Index Fund (primarily equity-based) 418,428,220 0 418,428,220
Vanguard Institutional Index Fund Plus (primarily equity-based) 1,182,292,434 0 1,182,292,434
Vanguard Short-Term Bond Index Fund (primarily bond-based) 345,247,284 0 345,247,284
Vanguard Small-Cap Growth Index Fund (primarily equity-based) 637,103,769 0 637,103,769
Vanguard Value Index Fund Institutional (primarily equity-based) 652,532,096 0 652,532,096
Microsoft Common Stock 1,003,015,044 0 1,003,015,044
Collective trusts
Fidelity Contrafund Pool 0 1,081,016,516 1,081,016,516
Fidelity Growth Company Pool 0 1,215,054,486 1,215,054,486
LifePath Funds 0 2,057,072,463 2,057,072,463
Separately managed accounts
Artisan Mid Cap Account
Common stock 836,582,075 0 836,582,075
Other 35,702,976 0 35,702,976
PIMCO Total Return Account
Mutual funds 313,584 538,385,292 538,698,876
Russell International Growth Account
Common stock 581,811,496 0 581,811,496
Other 19,611,794 2,888,218 22,500,012
Russell International Value Account
Common stock 490,910,799 0 490,910,799
Other 11,345,536 96,993 11,442,529
DFA Small/Mid Cap Value Account
Common stock 428,587,960 0 428,587,960
Other 1,654,740 0 1,654,740
Brokerage accounts
Mutual funds 81,499,410 0 81,499,410
Certificates of deposit 0 2,431,624 2,431,624
U.S Government notes and bonds 1,034,045 48,303 1,082,348
Corporate notes and bonds 0 1,568,048 1,568,048
Common & preferred stock 237,281,295 690,963 237,972,258
Cash 99,498,420 0 99,498,420
Options & rights/warrants 0 9,044,652 9,044,652
Total $ 7,509,334,519 $ 4,908,297,558 $ 12,417,632,077

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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

No significant transfers occurred between Level 1 and Level 2 for the years ended December 31, 2014 and 2013.

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

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applied. The related notional amounts, gross fair values, and amounts recognized in earnings were immaterial as of and for the years ended December 31, 2014 and 2013. These derivative instruments are a component of the “Other” caption of separately managed accounts in Note 6: Financial Instruments.

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 2014 — $ 12,532,846,244 $ 11,254,841,130
Less: benefits payable (2,444,765 ) (2,212,269 )
Net assets per the Form 5500 $ 12,530,401,479 $ 11,252,628,861

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

December 31, 2014 2013
Benefits paid to participants per the financial statements $ 718,024,527 $ 629,548,820
Plus: increase (decrease) in benefits payable at year end 232,496 (336,259 )
Benefits paid to participants per the Form 5500 $ 718,257,023 $ 629,212,561

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, 2014

Identity of Issue, borrower, lessor, or similar party Current Value
BROKERAGE ACCOUNTS
BrokerageLink 433,096,760 $ 433,096,760
COLLECTIVE TRUSTS
BlackRock LifePath Index 2020 18,198,521 239,970,792
BlackRock LifePath Index 2030 47,751,810 667,810,209
BlackRock LifePath Index 2040 51,248,695 750,564,971
BlackRock LifePath Index 2050 20,565,581 313,186,410
BlackRock LifePath Index Retirement 6,866,128 85,540,081
Fidelity Growth Company Pool * 101,338,990 1,215,054,486
Fidelity Contrafund Pool * 98,903,615 1,081,016,516
EMPLOYER STOCK
Microsoft Common Stock * 21,593,435 1,003,015,044
MUTUAL FUNDS
Fidelity Institutional Money Market Fund * 425,857,163 425,857,163
PIMCO All Asset All Authority 829,511 7,573,435
PIMCO Inflation Response Multi-Asset Fund 1,326,876 11,450,944
Vanguard Growth Index Fund 7,791,959 418,428,220
Vanguard Institutional Index Fund Plus 6,266,125 1,182,292,434
Vanguard Short-Term Bond Index Fund 32,943,443 345,247,284
Vanguard Small-Cap Growth Index Fund 17,971,898 637,103,769
Vanguard Value Index Fund 19,809,718 652,532,096
SEPARATELY MANAGED ACCOUNTS
Artisan Mid Cap Account
Mutual Funds
SSBK GOVT STIF FUND 35,689,016 35,689,681
Publicly-traded Common Stock
ALEXION PHARMACEUTICALS INC 28,210 5,219,696
ALKERMES PLC 92,454 5,414,106
AMETEK INC NEW 542,356 28,544,196
APPLIED MATERIALS INC 1,331,108 33,171,211

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ASPEN TECHNOLOGIES 237,211 8,307,129
ATHENAHEALTH INC 130,203 18,970,577
AUTODESK INC 327,919 19,694,815
BORGWARNER INC 103,463 5,685,292
CABELAS INC 83,979 4,426,533
CABOT OIL & GAS CORP 223,387 6,614,489
CATAMARAN CORP 180,306 9,330,836
CEPHEID INC 215,850 11,686,119
CERNER CORP 309,107 19,986,859
CH ROBINSON WORLDWIDE INC 171,700 12,858,613
CHIPOTLE MEXICAN GRILL INC 32,328 22,128,839
CIGNA CORP 174,405 17,948,019
CIMAREX ENERGY CO 75,472 8,000,032
CORE LABORATORIES NV 10,811 1,300,996
DIAMOND FOODS INC 6,928 195,577
DISCOVER FIN SVCS 393,513 25,771,166
ELECTRONIC ARTS INC 369,223 17,359,019
FLIR SYSTEMS INC 279,583 9,033,327
FORTUNE BRANDS HOME & SEC INC 478,143 21,645,534
FOSSIL GROUP INC 62,957 6,971,858
FREESCALE SEMICONDUCTOR LTD 230,992 5,827,928
GARMIN LTD 79,585 4,204,476
GARTNER INC 178,122 14,999,654
GUIDEWIRE SOFTWARE INC 143,704 7,275,734
IHS INC CL A 302,492 34,447,789
ILLUMINA INC 156,709 28,925,347
INCYTE CORP 157,699 11,529,374
INTERCONTINENTAL EXCHANGE INC 21,971 4,818,021
IPG PHOTONICS CORP 60,543 4,535,882
ISIS PHARMACEUTICALS CO 147,660 9,116,528
JD.COM INC SPON ADR 287,027 6,641,805
KATE SPADE & CO 278,963 8,929,606
KEURIG GREEN MOUNTAIN INC 110,834 14,673,867
LEVEL 3 COMMUNICATIONS INC 144,444 7,132,645
LINKEDIN CORP CL A 54,794 12,586,730
LIONS GATE ENTERMENT CORP 150,496 4,829,489
LKQ CORP 847,736 23,838,336
MCGRAW HILL FINANCIAL INC 114,821 10,216,773
MICHAEL KORS HOLDINGS LTD 69,113 5,190,386
MOBILEYE NV 9,346 379,074
MONSTER BEVERAGE CORP 55,779 6,043,655
NATIONAL INSTRUMENT CORP 144,762 4,500,651
NOBLE ENERGY INC 196,670 9,328,058

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PACWEST BANCORP 212,696 9,669,160
PALL CORP 141,473 14,318,482
PANDORA MEDIA INC 393,518 7,016,426
PANERA BREAD CO CL A 42,341 7,401,207
PERRIGO CO PLC 115,772 19,352,448
QIHOO 360 TECHNOLOGY LTD ADR 29,586 1,694,094
REGENERON PHARMACEUTICALS INC 91,751 37,640,848
RPM INTERNATIONAL INC 106,325 5,391,741
SENSATA TECHNOLOGIES HOLDG BV 306,198 16,047,837
SERVICENOW INC 104,938 7,120,043
SIGNET JEWELERS LTD (US) 112,684 14,825,834
SPROUTS FMRS MKT INC 64,418 2,188,924
TD AMERITRADE HOLDING CORP 476,079 17,034,107
TEXTRON INC 100,832 4,248,052
TRACTOR SUPPLY CO. 184,200 14,518,644
TRIMBLE NAVIGATION LTD 210,450 5,585,343
TRIPADVISOR INC 88,269 6,590,164
TWITTER INC 209,188 7,503,574
ULTA SALON COSMETICS & FRG INC 71,479 9,137,875
UNDER ARMOUR INC CL A 110,688 7,515,715
VERISK ANALYTICS INC CL A 59,355 3,801,688
WASTE CONNECTIONS INC 282,883 12,444,023
WHITEWAVE FOODS CO CL A 275,705 9,646,918
WILLIAMS-SONOMA INC 69,623 5,269,069
WORKDAY INC CL A 286,161 23,353,599
WYNN RESORTS LTD 28,049 4,172,569
ZAYO GROUP HOLDINGS INC 93,894 2,870,340
Artisan Mid Cap Account Total 872,285,051
DFA Small Mid Value Account
Mutual Funds
SSBK STIF FUND 1,224,454 1,224,357
Publicly-traded Common Stock
1 800 FLOWERS.COM INC CL A 6,700 55,208
AAR CORP 16,180 449,480
AARONS INC A 9,588 293,326
ABERCROMBIE & FITCH CO CL A 17,445 499,625
ABM INDUSTRIES INC 21,000 605,010
ACCO BRANDS CORP 5,800 52,258
ACETO CORP 10,923 237,029
ACTUANT CORP CL A 14,795 403,016
ACTUATE CORP 1,500 9,900
ADT CORP 30,490 1,104,653

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ADTRAN INC 4,003 87,265
ADVANCED ENERGY INDUSTRIES INC 15,963 378,323
AECOM 16,959 515,045
AEGION CORP 15,647 291,191
AEROCENTURY CORP 600 5,226
AFFYMETRIX INC 94,230 930,050
AGCO CORP 4,068 183,874
AGILYSYS INC 1,319 16,606
AH BELO CORP CL A 7,747 97,845
AIR LEASE CORP CL A 4,081 140,090
AIR TRANSPORT SERVICES GROUP 6,589 56,402
AIRCASTLE LTD 31,833 680,271
ALAMO GROUP INC 4,787 231,882
ALASKA AIR GROUP INC 44,646 2,668,045
ALBANY INTERNATIONAL CORP CL A 11,600 442,540
ALBANY MOLECULAR RESEARCH INC 8,109 132,015
ALERE INC 33,404 1,269,352
ALEXANDER & BALDWIN INC 4,978 195,436
ALLEGHANY CORP DEL 2,500 1,158,750
ALLEGHENY TECHNOLOGIES INC 12,202 424,264
ALLIANCE DATA SYSTEMS CORP 1,558 445,666
ALLIANCE ONE INTERNATIONAL INC 7,200 11,376
ALLIANT TECHSYSTEMS INC 8,392 975,570
ALLIED WRLD ASSURNCE HLDGS LTD 5,242 199,956
ALMOST FAMILY INC 1,900 55,005
ALON USA ENERGY INC 3,157 39,999
ALPHA & OMEGA SEMICNDTR LTD 251 2,221
AMBAC FINANCIAL GROUP INC 651 15,950
AMEDISYS INC 12,521 367,491
AMERCO INC 1,606 456,522
AMERESCO INC-CL A 2,600 18,200
AMERICAN EAGLE OUTFITTERS INC 30,622 425,033
AMERICAN EQY INVT LIFE HLD CO 22,197 647,930
AMERICAN FINL GROUP INC OHIO 36,063 2,189,745
AMERICAN RAILCAR INDS INC 2,712 139,668
AMERICAN SUPERCONDUCTOR CORP 39,000 28,891
AMERICAS CAR MART INC 9,700 517,786
AMERIS BANCORP 8,777 225,481
AMERISAFE INC 6,300 266,868
AMKOR TECHNOLOGY INC 66,172 469,821
AMSURG CORP 6,980 382,015
AMTECH SYSTEMS INC 1,525 15,479
ANDERSONS INC 41,365 2,203,927

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ANGIODYNAMICS INC 9,083 172,668
ANIKA THERAPEUTICS INC 4,300 175,182
ANIXTER INTL INC 470 41,576
AOL INC 5,310 245,163
APOLLO EDUCATION GROUP INC CL 34,927 1,191,360
APPLIED INDUSTRIAL TECH INC 6,383 291,001
APPROACH RESOURCES INC 5,151 32,915
ARC DOCUMENT SOLUTIONS INC 16,500 168,630
ARCBEST CORP 600 27,822
ARCH CAPITAL GROUP LTD 17,003 1,004,877
ARGAN INC 5,452 183,405
ARGO GROUP INTL 16,291 903,662
ARRIS GROUP INC 33,558 1,013,116
ARROW ELECTRONICS INC 38,268 2,215,335
ARROW FINANCIAL CORP 1,326 36,452
ASCENA RETAIL GROUP INC 3,232 40,594
ASCENT CAPITAL GROUP INC 3,904 206,639
ASHLAND INC 8,500 1,017,960
ASPEN INSURANCE HLDGS LTD 54,120 2,368,832
ASSOCIATED BANC CORP 67,707 1,261,381
ASSURANT INC 30,632 2,096,148
ASSURED GUARANTY LTD 8,854 230,115
ASTEC INDUSTRIES INC 34,356 1,350,534
ASTORIA FINANCIAL CORP 39,486 527,533
ATLAS AIR WORLD 63,953 3,152,883
ATWOOD OCEANICS INC 26,259 744,968
AUTOLIV INC 2,875 305,095
AVIAT NETWORKS INC 27,555 41,333
AVIS BUDGET GROUP 44,047 2,921,638
AVNET INC 55,970 2,407,829
AVX CORP 18,608 260,512
AXCELIS TECHNOLOGIES INC 63,000 161,280
AXIALL CORP 5,741 244,739
AXIS CAPITAL HOLDINGS LTD 42,084 2,162,276
AZZ INC 400 18,768
B&G FOODS INC 1,700 51,408
BALTIC TRADING LTD 12,273 30,805
BANC OF CALIFORNIA INC 4,666 54,079
BANCFIRST CORP 2,900 184,817
BANCORP INC DEL 12,250 133,403
BANCORPSOUTH INC 37,040 836,548
BANK MUTUAL CORP 10,116 69,396
BANKFINANCIAL CORP 1,100 13,046

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BANKRATE INC 28,717 356,952
BANNER CORP 2,500 108,000
BAR HARBOR BANKSHARES 651 20,832
BARNES & NOBLE INC 7,107 165,025
BARNES GROUP INC 25,800 954,858
BASIC ENERGY SERVICES INC 17,051 119,528
BBCN BANCORP INC 30,816 443,134
BEACON ROOFING SUPPLY INC 5,350 148,730
BEL FUSE INC NV CL B 2,918 79,778
BELDEN INC 3,713 292,807
BELMOND LTD CL A 6,701 82,891
BEMIS INC 10,027 453,321
BENCHMARK ELECTRONICS INC 17,175 436,932
BERKLEY (WR) CORP 14,617 749,267
BERKSHIRE HILLS BANCORP INC 2,895 77,181
BGC PARTNERS INC CL A 122,800 1,123,620
BIG 5 SPORTING GOODS CORP 8,661 126,710
BIG LOTS INC 387 15,488
BIGLARI HLDGS INC 580 231,716
BILL BARRETT CORP 10,706 121,941
BIO RAD LABS CL A 2,793 336,724
BIOSCRIP INC 3,300 23,067
BJ’S RESTAURANTS INC 595 29,875
BLUCORA INC 16,706 231,378
BOB EVANS FARMS INC 22,425 1,147,712
BOINGO WIRELESS INC 3,000 23,010
BOISE CASCADE CO 185 6,873
BONANZA CREEK ENERGY INC 8,800 211,200
BON-TON STORES INC 1,228 9,099
BOSTON PRIVATE FINL HLDG INC 29,521 397,648
BOULDER BRANDS INC 19,120 211,467
BRADY CORPORATION CL A 400 10,936
BRIDGE BANCORP INC 500 13,375
BRIDGEPOINT EDUCATION INC 17,738 200,794
BRIGGS & STRATTON CORP 800 16,336
BRIGHT HORIZONS FAMILY SOL INC 4,525 212,720
BRINKS CO 1,382 33,735
BRISTOW GROUP INC 7,019 461,780
BROADRIDGE FINANCIAL SOL 9,774 454,742
BROCADE COMMUNICATIONS SYS 57,797 686,339
BROOKLINE BANCORP INC 28,668 287,540
BROWN SHOE CO INC 27,400 882,828
BRYN MAWR BANK CORP 3,100 97,030

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C&J ENERGY SERVICES INC 22,257 294,015
CABOT CORP 46,506 2,039,753
CACI INTERNATIONAL INC 9,505 819,141
CALGON CARBON 59 1,226
CALIX NETWORKS INC 5,000 50,100
CALLAWAY GOLF CO 27,812 214,152
CALLON PETROLEUM CO 14,930 81,369
CAMBREX CORP 7,300 157,826
CAMDEN NATIONAL CORP 800 31,872
CAPITAL BANK FINL CORP SER A 10,500 281,400
CAPITOL FED FINL (2ND STEP CV) 60,409 772,027
CAREER EDUCATION CORP 24,247 168,759
CARETRUST REIT INC 16,269 202,630
CARPENTER TECHNOLOGY CORP 191 9,407
CARRIAGE SERVICES INC 100 2,095
CARRIZO OIL & GAS INC 4,553 189,405
CARROLS RESTAURANT GROUP INC 5,200 39,676
CASCADE MICROTECH INC 2,901 42,384
CASELLA WASTE SYS INC CL A 7,718 31,181
CASEY GENERAL STORES 5,353 483,483
CASH AMERICA INTERNATIONAL INC 74,370 1,682,249
CATHAY GENERAL BANCORP 28,553 730,671
CATO CORP CL A 11,900 505,512
CBIZ INC 1,700 14,552
CDI CORP 2,900 51,359
CENTERSTATE BANKS INC 6,625 78,904
CENTRAL EUROPEAN MEDIA CL A(US 47,888 153,720
CENTRAL PACIFIC FINANCIAL CORP 13,924 299,366
CENTURY ALUMINUM COMPANY 34,476 841,214
CHASE CORP 400 14,396
CHECKPOINT SYSTEMS INC 16,577 227,602
CHEMICAL FINANCIAL CORP 6,337 194,166
CHEMTURA CORP NEW 38,368 948,841
CHICAGO RIVET & MACHINE CO 300 9,210
CHICOS FAS INC 30,910 501,051
CHIQUITA BRANDS INTL INC 25,200 364,392
CHURCHILL DOWNS INC 2,233 215,038
CIBER INC 2,600 9,230
CIENA CORP 16,929 328,592
CIRCOR INTERNATIONAL INC 29,470 1,776,452
CIRRUS LOGIC INC 7,887 185,897
CITI TRENDS INC 100,762 2,544,241
CIVEO CORP 36,870 151,536

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CLEARWATER PAPER CORP 1,984 136,003
CLIFFS NATURAL RESOURCES INC 28,253 201,726
CLOUD PEAK ENERGY INC 85,400 783,972
CNB FINANCIAL CORP PA 2,100 38,850
COBIZ FINANCIAL INC 13,516 177,465
COCA COLA BOTTLING CO CONSOLID 1,400 123,242
COHERENT INC 2,049 124,415
COHU INC 8,000 95,680
COLUMBIA BANKING SYSTEMS INC 20,122 555,568
COLUMBIA SPORTSWEAR CO 9,926 442,104
COLUMBUS MCKINNON CORP NY 7,600 213,104
COMFORT SYSTEMS USA INC 14,500 248,240
COMMERCIAL METALS CO 47,300 770,517
COMMUNITY BANK SYSTEMS INC 13,404 515,116
COMMUNITY HEALTH SYS INC NEW 29,252 1,577,268
COMMUNITY TRUST BANCORP INC 1,098 40,527
COMSTOCK RESOURCES INC NEW 2,899 19,742
COMTECH TELECOMMUNICATIONS NEW 8,200 258,464
CON WAY INC 19,379 953,059
CONMED CORP 58,097 2,623,661
CONNECTONE BANCORP INC 700 13,300
CONNS INC 2,532 47,323
CONSOLIDATED COMM HLDGS INC 2,664 74,139
CONSOLIDATED WATER CO LTD 5,400 58,077
CONVERGYS CORP 146,730 2,999,161
COOPER TIRE & RUBBER COMPANY 8,484 293,971
CORELOGIC INC 38,901 1,228,883
CORE-MARK HOLDING CO INC 11,500 712,195
COURIER CORP 2,300 34,316
COVANTA HOLDING CORP 22,060 491,056
COVISINT CORP 3,847 10,195
COWEN GROUP INC A 46,002 220,810
CPI AEROSTRUCTURES INC 900 9,441
CRAFT BREW ALLIANCE INC 2,497 33,310
CROCS INC 6,920 86,431
CROSS COUNTRY HEALTHCARE INC 10,500 131,040
CSG SYSTEMS INTL INC 24,310 609,452
CUBIC CORP 6,358 334,685
CULP INC 800 17,392
CUMULUS MEDIA INC CL A 4,684 19,813
CURTISS WRIGHT CORPORATION 19,233 1,357,657
CVB FINANCIAL CORP 37,956 611,851
CYNOSURE INC CL A 4,310 118,180

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CYTEC INDUSTRIES INC 1,539 71,056
DANA HOLDING CORP 2,245 48,806
DARDEN RESTAURANTS INC 12,775 748,998
DARLING INGREDIENTS INC 31,463 571,368
DAWSON GEOPHYSICAL CO (OLD) 3,578 43,759
DEAN FOODS CO 37,860 733,727
DELEK US HOLDINGS INC 12,849 350,521
DENBURY RESOURCES INC 34,407 279,729
DESTINATION XL GROUP INC 20,171 110,134
DEVRY EDUCATION GROUP INC 24,505 1,163,252
DIAMOND FOODS INC 8,658 244,415
DIAMOND OFFSHORE DRILLING 7,595 278,812
DICE HOLDINGS INC 1,500 15,015
DIGI INTERNATIONAL INC 7,600 70,604
DIGITAL RIVER INC 32,800 811,144
DIGITALGLOBE INC 21,611 669,293
DILLARDS INC CL A 4,450 557,318
DIME COMMUNITY BANCSHARES INC 13,904 226,357
DINEEQUITY INC 2,238 233,905
DIODES INC 19,040 524,933
DIXIE GROUP INC 1,000 9,170
DOMTAR CORP 5,837 236,953
DONEGAL GROUP INC CL A 287 4,586
DONNELLEY R R & SONS CO 6,438 108,191
DORAL FINANCIAL CORP 1,600 6,320
DOUGLAS DYNAMICS INC 6,077 130,230
DOVER MOTORSPORTS INC 4,100 10,701
DR HORTON INC 6,063 153,333
DSP GROUP 11,600 126,092
DST SYSTEMS INC 17 1,601
DUCOMMUN INC 4,700 118,816
DYCOM INDUSTRIES INC 66,350 2,328,222
DYNAMIC MATERIALS CORP 4,981 79,995
DYNEGY INC NEW DEL 5,344 162,190
E TRADE FINANCIAL CORP 117,297 2,845,039
EASTMAN KODAK CO 15 326
ECHELON CORP 4,600 7,820
ELECTRO RENT CORP 600 8,544
ELECTRO SCIENTIFIC INDS INC 184,701 1,433,280
ELECTRONICS FOR IMAGING INC 18,965 812,271
ELLIS (PERRY) INTL INC 6,300 163,359
EMCOR GROUP INC 1,377 61,263
EMERALD OIL INC 3,200 3,840

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EMERGENT BIOSOL 16,200 441,126
EMPLOYERS HOLDINGS INC 11,074 260,350
EMULEX CORP 71,680 406,426
ENCORE CAP GROUP INC 19,250 854,700
ENCORE WIRE CORPORATION 5,828 217,676
ENDURANCE SPECIALTY HLDGS LTD 31,500 1,884,960
ENERGEN CORP 3,541 225,774
ENERGIZER HOLDINGS INC 5,107 656,556
ENERGY XXI (USA) 26,563 86,595
ENERSYS INC 14,643 903,766
ENGILITY HOLDINGS INC 4,579 195,981
ENOVA INTL INC 62,779 1,397,461
ENPRO INDUSTRIES INC 8,332 522,916
ENSIGN GROUP INC 12,300 546,920
ENSTAR GROUP LTD 10,000 1,528,900
ENTEGRIS INC 53,610 708,188
ENTERCOM COMM CORP CL A 3,400 41,344
ENTERPRISE FINL SVCS CORP 5,995 118,281
ENTROPIC COMMUNICATIONS INC 266,400 673,992
EPLUS INC 3,350 253,562
ESB FINANCIAL CORP 1,225 23,324
ESCALADE 1,300 19,617
ESPEY MFG.&ELECTRIC 472 11,234
ESSA BANCORP INC 3,403 40,836
ESTERLINE TECHNOLOGIES CORP 4,410 483,689
EVERBANK FINANCIAL CORP 16,824 320,665
EVEREST REINSURANCE GROUP LTD 6,369 1,084,641
EXACTECH INC 1,440 33,941
EXELIS INC 75,747 1,335,670
EXTERRAN HLDGS INC 26,882 875,816
EXTREME NETWORKS INC 67,015 236,563
EZCORP INC CL A NON VTG 103,000 1,210,250
FAIRCHILD SEMICON INTL INC 24,361 411,214
FARO TECHNOLOGIES INC 2,981 186,849
FBL FINANCIAL GROUP INC CL A 2,800 162,484
FEDERAL AGRI MTG NON VTG CL C 2,300 69,782
FEDERAL MOGUL HLDGS CORP CL A 28,153 452,982
FEDERAL SIGNAL CORP 820 12,661
FIDELITY SOUTHERN CORP 2,824 45,495
FINISAR CORP 19,400 376,554
FINISH LINE INC CL A 11,406 277,280
FIRST AMERICAN FINANCIAL CORP 21,461 727,528
FIRST BANCORP NC 2,400 44,520

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FIRST BANCORP PUERTO RICO 1,833 10,760
FIRST BUSEY CORP 16,863 109,778
FIRST CITIZEN BANCSHARES INC A 620 156,916
FIRST COMMONWEALTH FINL CORP 36,151 333,312
FIRST COMMUNITY BANCSHARES INC 1,008 16,602
FIRST DEFIANCE FINL CORP 400 13,624
FIRST FINANCIAL BANCORP 30,850 578,438
FIRST FINANCIAL INDIANA 900 32,058
FIRST FINANCIAL NORTWEST INC 3,499 42,128
FIRST HORIZON NATIONAL CORP 27,474 374,471
FIRST INTST BANCSYST INC CL A 6,120 170,258
FIRST MERCHANTS CORP 11,209 255,005
FIRST MIDWEST BANCORP INC DEL 30,670 527,217
FIRST NIAGARA FINL GROUP INC 116,144 979,094
FIRST SOLAR INC 14,566 649,571
FIRST SOURCE CORP 1,300 44,603
FIRSTMERIT CORP 800 15,112
FLAGSTAR BANCORP INC 17,102 269,014
FLEXSTEEL IND 681 22,085
FLUSHING FINANCIAL CORP 8,100 164,187
FNB CORP PA 59,315 790,076
FOOT LOCKER INC 13,330 748,879
FORBES ENERGY SERVICES LTD(USA 2,000 2,420
FORESTAR GROUP INC 39,723 611,734
FORMFACTOR INC 28,100 241,660
FORUM ENERGY TECHNOLOGIES INC 3,667 76,017
FOSTER L B CO CL A 3,870 187,966
FRANKLIN FINANCIAL CORP/VA 700 14,826
FREDS INC CL A 17,200 299,452
FREIGHTCAR AMERICA INC 4,386 115,396
FRESH DEL MONTE PRODUCE INC 26,760 897,798
FRONTIER COMMUNICATIONS CORP 247,741 1,652,432
FRP HOLDINGS INC 760 29,800
FTD COS INC 11,820 411,572
FTI CONSULTING INC 704 27,196
FUEL SYSTEMS SOLUTIONS INC 117,608 1,286,632
FULLER H B CO 9,388 418,048
FULTON FINANCIAL CORP 77,294 961,537
FURMANITE CORP 7,800 60,996
FUTUREFUEL CORP 13,049 169,898
G & K SERVICES INC CL A 6,225 441,041
GAIN CAPITAL HOLDINGS INC 14,500 130,790
GAMESTOP CORP CL A 18,156 613,673

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GANNETT INC 89,159 2,864,679
GASLOG LTD 9,636 196,093
GATX CORP 6,480 372,859
GENERAL COMMUNICATIONS CL A 1,100 15,125
GENESCO INC 9,330 714,865
GENESEE & WYOMING INC CL A 876 78,770
GENWORTH FINANCIAL INC A 59,265 503,753
GERMAN AMERICAN BANCORP INC 2,000 61,040
GFI GROUP INC 210,946 1,149,656
GIBRALTAR INDUSTRIES INC 8,300 134,958
G-III APPAREL GROUP LTD 8,190 827,272
GLACIER BANCORP INC 19,602 544,348
GLATFELTER 16,763 430,474
GLOBAL CASH ACCESS HLDGS INC 13,054 93,336
GLOBAL INDEMNITY PLC 400 11,348
GLOBAL POWER EQUIPMENT GROUP 5,600 77,336
GOODRICH PETRO CORP 3,112 13,817
GORDMANS STORES INC 6,738 18,395
GRAFTECH INTERNATIONAL LTD 192,549 974,298
GRAHAM HOLDINGS CO 1,527 1,318,885
GRANITE CONSTRUCTION INC 38,350 1,463,053
GRAPHIC PACKAGING HOLDING CO 7,993 108,865
GRAY TELEVISION INC 20,326 227,651
GREAT LAKES DREDGE & DOCK CORP 13,711 117,366
GREAT SOUTHERN BANCORP INC 3,400 135,558
GREATBATCH INC 9,363 461,596
GREEN DOT CORP CLASS-A 46,300 948,687
GREEN PLAINS INC 11,284 279,618
GREENBRIER COMPANIES INC 10,591 569,054
GREENLIGHT CAPITAL RE LTD A 5,600 182,840
GREIF INC CL A 6,652 316,968
GRIFFON CORP 8,844 117,625
GROUP 1 AUTOMOTIVE INC 9,972 893,691
GUESS INC 41,500 884,158
GULF ISLAND FABRICATION INC 4,217 81,768
GULFMARK OFFSHORE INC CLASS A 11,094 270,915
HACKETT GROUP INC 12,100 106,359
HAEMONETICS CORP MASS 2,701 101,071
HALCON RESOURCES CORP 92,364 164,408
HANCOCK HOLDING CO 26,241 805,599
HANMI FINANCIAL CORPORATION 9,800 214,424
HANOVER INSURANCE GROUP INC 17,900 1,276,628
HARDINGE INC 4,000 47,680

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HARMAN INTL IND INC NEW 3,542 377,967
HARMONIC INC 52,200 365,922
HARTE-HANKS INC 21,565 166,913
HARVARD APPARATUS REGENERATIVE 2,750 8,745
HARVARD BIOSCIENCES INC 11,000 62,370
HARVEST NATURAL RESOURCES INC 14,556 26,346
HAVERTY FURNITURE COS INC 9,000 198,090
HAWAIIAN HLDGS INC 20,285 528,424
HAWAIIAN TELCOM HOLDCO INC 4,008 110,501
HAYNES INTL INC 2,900 140,650
HCC INSURANCE HOLDINGS INC 30,419 1,636,998
HEALTH NET INC 8,398 449,545
HEALTHWAYS INC 13,384 266,074
HEARTLAND FINANCIAL USA INC 5,200 140,920
HECLA MINING CO 15,978 44,579
HEIDRICK & STRUGGLES INTL INC 7,045 162,387
HELEN OF TROY LTD 8,700 566,022
HELIX ENERGY SOL GRP INC 22,732 493,284
HERBALIFE LTD 6,464 243,693
HERITAGE FINANCIAL CORP WASH 11,263 197,666
HHGREGG INC 12,045 91,181
HILL-ROM HOLDINGS INC 8,483 386,994
HOMESTREET INC 4,255 74,080
HORACE MANN EDUCATORS CORP 16,151 535,890
HORNBECK OFFSHORE SERVICES INC 6,948 173,492
HORSEHEAD HOLDING CORP 17,036 269,680
HOUSTON WIRE & CABLE CO 2,500 29,875
HUB GROUP INC CL A 5,346 203,576
HUNTSMAN CORP 34,706 790,603
HURON CONSULTING GROUP INC 2,594 177,404
HUTCHINSON TECHNOLOGY INC 7,130 24,955
IAC/INTERACTIVECORP 2,302 139,939
IBERIABANK CORP 23,700 1,545,003
ICF INTERNATIONAL INC 7,691 315,177
ICU MEDICAL INC 2,764 226,372
II-VI INC. 25,479 347,788
IMATION CORP 5,202 19,716
IMPAX LABORATORIES INC 23,655 749,390
IMPERIAL HOLDINGS INC 7,700 50,204
INDEPENDENT BANK CORP MASS 3,441 148,135
INFINITY PPTY & CASUALTY CORP 2,158 166,727
INGLES MARKETS INC-CL A 5,171 191,792
INGRAM MICRO INC CL A 54,857 1,516,247

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INGREDION INC 6,890 587,441
INNOPHOS HOLDINGS INC 366 21,393
INSTEEL INDUSTRIES INC 7,206 169,917
INTEGRA LIFESCIENCES HLDS CORP 9,479 514,046
INTEGRATED DEVICE TECH INC 49,600 972,160
INTEGRATED SILICON SOLUTN INC 9,600 159,072
INTELIQUENT INC 44,100 865,683
INTELSAT SA 54,876 952,647
INTER PARFUMS INC 3,800 104,766
INTERACTIVE BROKERS GROUP INC 20,216 589,499
INTERNATIONAL BANCSHARES CORP 26,657 707,477
INTERNATIONAL GAME TECHNOLOGY 40,948 710,857
INTERNATIONAL RECTIFIER CORP 28,922 1,153,988
INTERNATIONAL SHIPHOLDING CORP 2,200 32,780
INTERNATIONAL SPEEDW A (1/5VT) 8,700 275,355
INTERSIL CORPORATION CL A 58,200 842,154
INTEVAC INC 7,720 59,984
INTL FCSTONE INC 6,402 131,689
INTRALINKS HLDGS INC 15,532 184,831
INTREPID POTASH INC 3,127 43,403
INVACARE CORP 11,924 199,995
INVESTMENT TECH GROUP INC 33,200 691,224
IRIDIUM COMMUNICATIONS INC 28,717 279,991
ISLE CAPRI CASINOS INC 10,769 90,137
ITRON INC 3,129 132,325
IXYS CORP DEL 2,123 26,824
J2 GLOBAL INC 28,129 1,743,998
JABIL CIRCUIT INC 82,807 1,807,677
JACOBS ENGINEERING GROUP INC 2,663 119,009
JANUS CAPITAL GROUP INC 40,992 661,201
JETBLUE AIRWAYS CORP 55,889 886,400
JOY GLOBAL INC 5,475 254,697
KADANT INC 3,704 158,124
KAMAN CORP 43,837 1,764,439
KAPSTONE PAPER & PCKGING CORP 23,140 680,547
KAR AUCTION SERVICES INC 24,385 851,524
KB HOME 12,983 214,869
KCG HOLDINGS INC CL A 2,082 24,255
KELLY SERVICES INC CL A 16,564 281,919
KEMPER CORP 15,306 552,700
KEY ENERGY SERVICES INC 190,253 317,723
KIMBALL ELECTRONICS INC 8,394 100,896
KIMBALL INTL INC CL B 11,193 102,640

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KINDRED HEALTHCARE INC 21,972 399,451
KIRBY CORP 5,432 438,580
KIRKLANDS INC 7,600 179,664
KMG CHEMICALS INC 600 12,018
KNIGHT TRANSPORTATION INC 32,696 1,100,547
KNIGHTSBRIDGE SHIPPING LTD 9,503 43,049
KNOWLES CORP 7,052 166,075
KORN/FERRY INTL 19,900 572,324
KRATOS DEFENSE & SEC SOLTN INC 22,181 111,349
KULICKE & SOFFA INDUSTRIES INC 129,595 1,873,944
KVH INDUSTRIES INC 800 10,120
LA Z BOY INC 21,424 575,020
LAKELAND BANCORP INC 2,625 30,713
LAKELAND FINANCIAL CORP 4,603 200,092
LANDMARK BANCORP INC 549 11,650
LATTICE SEMICONDUCTOR CORP 2,200 15,158
LAYNE CHRISTENSEN CO 63,551 606,277
LEAPFROG ENTERPRISES INC CL A 24,891 117,486
LEAR CORP NEW 26,408 2,590,097
LEGG MASON INC 50,411 2,698,501
LEIDOS HOLDINGS INC 10,384 451,912
LEMAITRE VASCULAR INC 2,700 20,655
LEXMARK INTERNATIONAL INC CL A 36,700 1,514,609
LHC GROUP INC 6,635 206,879
LIBERTY TRIPADVISOR HOLDG A WI 16,541 444,953
LIBERTY VENTURES CL A 16,550 624,266
LIFE TIME FITNESS INC 17,274 978,054
LIFEPOINT HOSPITALS INC 5,586 401,689
LIFETIME BRANDS INC 4,300 73,960
LINDSAY CORP 699 59,932
LNB BANCORP INC 1,000 18,060
LORAL SPACE & COMMUNIC LTD 4,411 347,190
LOUISIANA PACIFIC CORP 25,576 423,539
LSB INDUSTRIES INC 8,252 259,443
LSI INDUSTRIES INC 1,746 11,855
LYDALL INC 300 9,846
M D C HOLDINGS INC 3,815 100,983
MAGELLAN HEALTH INC 10,969 658,469
MAGNACHIP SEMICONDUCTOR 13,815 179,457
MAIDEN HLDGS LTD 32,080 414,474
MAINSOURCE FINACIAL GROUP INC 1,003 20,983
MANNING & NAPIER INC CL A 7,200 99,504
MANPOWERGROUP INC 9,802 668,202

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MANTECH INTL CORP CL A 9,475 286,429
MARCUS CORP 1,500 27,765
MARLIN BUSINESS SERVICES CORP 900 18,477
MARRIOTT VACATIONS WORLD 14,800 1,103,192
MARTEN TRANSPORT LTD 13,300 290,738
MARVELL TECHNOLOGY GROUP LTD 200,976 2,914,152
MASTEC INC 71,100 1,607,571
MATERION CORP 47,200 1,662,856
MATRIX SERVICE CO 10,669 238,132
MATSON INC 17,285 596,678
MATTHEWS INTL CORP CL A 7,707 375,100
MAXWELL TECHNOLOGIES INC 11,331 103,339
MB FINANCIAL INC 22,397 735,965
MBIA INC 38,307 365,449
MCDERMOTT INTL INC 105,624 307,366
MCEWEN MINING INC 43,625 48,424
MCGRATH RENTCORP 8,138 291,829
MEADWESTVACO CORP 25,438 1,129,193
MEDASSETS INC 3,866 76,392
MEDIA GENERAL INC 6,240 104,395
MEDICINES CO 7,284 201,548
MENS WEARHOUSE INC 24,092 1,063,662
MENTOR GRAPHICS CORP 38,859 853,732
MERCANTILE BANK CORP 700 14,714
MERCHANTS BANCSHARES INC 656 20,093
MERCURY GENERAL CORP 5,514 312,478
MERCURY SYSTEMS INC 138,042 1,921,545
MEREDITH CORP. 9,342 507,457
MERIT MEDICAL SYSTEMS INC 16,512 286,153
MERITAGE HOMES CORP 5,236 188,444
MERITOR INC 23,921 362,403
META FINL GROUP INC 256 9,004
MICROSEMI CORP 29,629 840,871
MIDSTATES PETROLEUM CO INC 1,742 2,630
MILLER ENERGY RESOURCES INC 16,994 21,243
MILLER INDUSTRIES INC TENN 3,900 81,081
MINERALS TECHNOLOGIES INC 7,063 490,525
MITCHAM INDUSTRIES INC 900 5,337
MKS INSTRUMENTS INC 5,831 213,415
MOBILE MINI INC 8,710 352,842
MODINE MANUFACTURING CO 18,994 258,318
MOLINA HEALTHCARE INC 18,666 999,191
MOLYCORP INC 33,082 29,132

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MONARCH CASINO & RESORT INC 5,503 91,295
MOOG INC CL A 11,351 840,315
MRC GLOBAL INC 33,933 514,085
MUELLER INDUSTRIES INC 17,356 592,534
MUELLER WATER PRODUCTS INC A 96 983
MULTI COLOR CO. 4,330 239,969
MURPHY USA INC 4,047 278,676
MYERS INDUSTRIES 13,087 232,033
MYR GROUP INC/DELAWARE 57,916 1,586,898
NABORS INDUSTRIES LTD 108,952 1,414,197
NACCO INDUSTRIES INC CL A 500 29,680
NASDAQ OMX GROUP 26,183 1,255,737
NATIONAL HEALTHCARE CORP 2,200 138,996
NATIONAL PENN BANCSHARES INC 12,593 132,541
NATIONAL WESTERN LIFE INC CL A 200 53,850
NATURAL GAS SERVICES GROUP 2,300 52,992
NATUS MEDICAL INC 11,610 418,424
NAVIGANT CONSULTING INC 13,746 211,276
NAVIGATORS GROUP INC 2,400 176,016
NBT BANCORP INC 2,956 77,654
NCR CORP 1,321 38,494
NEENAH PAPER INC 4,800 289,296
NELNET INC CL A 52,200 2,418,426
NEOPHOTONICS CO 6,700 22,646
NETGEAR INC 55,656 1,980,240
NEUSTAR INC CL A 1,850 51,430
NEW YORK COMMUNITY BANCORP INC 67,312 1,076,992
NEW YORK TIMES CO CL A 20,082 265,484
NEWFIELD EXPLORATION CO 55,442 1,503,587
NEWPARK RESOURCES INC 118,300 1,128,582
NEWPORT CORP 3,200 61,152
NN INC 6,420 131,995
NOBLE CORP PLC 35,292 584,788
NORDIC AMERICAN TANKER LTD 3,668 36,937
NORTHERN OIL AND GAS INC 7,754 43,810
NORTHFIELD BANCORP INC NEW 22,998 340,370
NORTHWEST BANCSHARES INC 36,612 458,748
NORTHWEST PIPE CO 1,600 48,192
NOVATEL WIRELESS INC 13,943 44,896
NUTRACEUTICAL INTL CORP 3,300 71,148
NUVASIVE INC 17,376 819,452
OASIS PETROLEUM INC 15,353 253,939
OCEANFIRST FINANCIAL CORP 1,320 22,625

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OCLARO INC 31,707 56,438
OFFICE DEPOT INC 53,237 456,507
OFG BANCORP 17,758 297,447
OIL STATES INTERNATIONAL INC 18,435 901,472
OLD NATIONAL BANCORP (IND) 40,753 606,405
OLD REPUBLIC INTL CORP 58,509 855,987
OLIN CORP 33,550 763,934
OLYMPIC STEEL INC 4,100 72,898
OM GROUP INC 79,304 2,363,259
OMEGA PROTEIN CORP 8,800 93,016
OMNICARE INC 42,276 3,083,189
OMNICELL INC 14,235 471,463
OMNIVISION TECHNOLOGIES INC 118,088 3,070,288
OMNOVA SOLUTIONS INC 6,700 54,538
ON ASSIGNMENT INC 7,264 241,092
ON SEMICONDUCTOR CORP 1,454 14,729
ONEBEACON INSURANCE GROUP LTD 3,100 50,220
ORBITAL SCIENCES CORP 45,040 1,211,126
ORCHIDS PAPER PRODUCTS CO 374 10,887
ORION ENERGY SYSTEMS INC 3,100 17,050
ORION MARINE GROUP INC 7,800 86,190
ORITANI FINL CORP NEW 12,579 193,717
ORMAT TECHNOLOGIES INC 10,753 292,267
OSHKOSH CORP 28,079 1,366,043
OSI SYSTEMS INC 2,097 148,405
OUTERWALL INC 3,469 260,938
OWENS AND MINOR INC 25,627 899,764
OWENS CORNING INC 5,011 180,246
OWENS ILLINOIS INC 334 9,015
PACIFIC BIOSCIENES OF CALI INC 1,243 9,745
PACIFIC CONTINENTAL CORP 800 11,344
PACIFIC DRILLING SA (US) 14,891 69,094
PACIFIC MERCANTILE BANCORP 3,090 21,754
PACIFIC PREMIER BANCORP INC 1,019 17,659
PACWEST BANCORP 67,313 3,060,049
PAM TRANSPORTAION 1,187 61,534
PANHANDLE OIL & GAS CL A 2,200 51,216
PANTRY INC 15,700 581,842
PARK ELECTROCHEMICAL CORP. 2,900 72,587
PARK NATIONAL CORP 2,772 245,267
PARK STERLING CORP 7,362 54,111
PARKER DRILLING CO 48,983 150,378
PARTNERRE LTD 21,049 2,402,322

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PATTERSON-UTI ENERGY INC 84,142 1,395,916
PBF ENERGY INC CL A 7,772 207,046
PC CONNECTION INC 5,800 142,390
PDC ENERGY INC 6,908 285,093
PENFORD CORP 1,300 24,297
PENN VIRGINIA CORP. 25,400 169,672
PENNEY (J.C.) CO INC 63,637 412,368
PENSKE AUTOMOTIVE GROUP INC 8,787 431,178
PEOPLES BANCORP INC 1,100 28,523
PEOPLES UNITED FINANCIAL INC 119,608 1,815,649
PERCEPTRON INC 3,029 30,139
PERICOM SEMICONDUCTOR CORP 7,421 100,480
PHARMERICA CORP 17,800 368,638
PHH CORP 8,038 192,590
PHI INC NON VTG 800 29,920
PHOTOMEDEX INC 7,170 10,970
PHOTRONIC INC 188,303 1,564,798
PINNACLE FINL PARTNERS INC 5,508 217,786
PINNACLE FOODS INC 315 11,194
PIONEER ENERGY SVCS CORP 44,100 244,314
PIPER JAFFRAY COS 38,855 2,257,087
PLATINUM UNDERWRITERS HLDG LTD 12,800 939,776
PLEXUS CORP 13,743 566,349
PMC-SIERRA INC 61,400 562,424
PMFG INC 7,385 38,624
POLYCOM INC 175,255 2,365,943
POLYPORE INTERNATIONAL INC 778 36,605
POST HOLDINGS INC 6,163 258,168
POWELL INDUSTRIES INC 1,455 71,397
PRESTIGE BRANDS HOLDINGS INC 20,909 725,960
PRIMERICA INC 15,817 858,230
PRIVATEBANCORP INC 30,940 1,033,396
PROASSURANCE CORPORATION 20,300 976,633
PROGRESS SOFTWARE CORP 923 24,939
PROSPERITY BANCSHARES INC 2,298 127,645
PROTECTIVE LIFE CORP 15,407 1,073,098
PROVIDENT FINANCIAL HLDGS INC 1,200 18,156
PROVIDENT FINANCIAL SVCS INC 14,200 256,452
PULASKI FINANCIAL CORP 550 6,782
PULTEGROUP INC 42,964 926,463
QCR HOLDINGS INC 752 13,596
QEP RESOURCES INC 18,494 373,949
QLOGIC CORP 35,800 476,856

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QUAD/GRAPHICS INC CL A 13,354 306,608
QUANEX BUILDING PRODUCTS 14,421 270,826
QUANTA SVCS INC 21,014 596,587
QUINSTREET INC 16,796 101,952
RADISYS CORP 1,500 3,510
RBC BEARINGS INC 825 53,237
RCI HOSPITALITY HOLDINGS INC 2,759 27,645
RED ROBIN GOURMET BURGERS INC 2,600 200,135
REGAL-BELOIT CORP 9,200 693,864
REINSURANCE GROUP OF AMERICA 20,438 1,790,778
RELIANCE STEEL & ALUMINUM CO 31,460 1,927,554
RENAISSANCERE HLDGS LTD 2,657 258,314
RENASANT CORP 4,599 133,049
RENEWABLE ENERGY GROUP INC 13,034 126,560
RENT A CTR INC 20,773 759,461
REPUBLIC AIRWAYS HOLDINGS INC 9,692 141,406
REPUBLIC BANCORP INC KY CL A 5,500 136,989
RESOLUTE FOREST PRODUCTS INC 2,376 41,841
RESOURCES CONNECTION INC 16,295 268,053
REX AMERICAN RESOURCES CORP 4,000 247,880
RLI CORP 4,341 214,445
ROADRUNNER TRANSPORTATION SYST 15,060 351,651
ROCK TENN COMPANY CL A 19,178 1,169,474
ROCKY BRANDS INC 600 7,956
ROFIN SINAR TECHNOLOGIES INC 2,900 83,433
ROGERS CORP 6,947 565,764
ROSETTA RESOURCES INC 5,205 116,124
ROUNDYS INC 13,900 67,276
ROVI CORPORATION 15,986 361,124
ROWAN COMPANIES PLC 95,192 2,219,877
RPX CORP 21,311 293,666
RTI INTERNATIONAL METALS INC 41,270 1,042,480
RTI SURGICAL INC 15,200 79,040
RUBICON TECHNOLOGY INC 8,107 37,049
RUBY TUESDAY INC 134,501 919,987
RUSH ENTERPRISES INC CL A 4,322 138,520
RYDER SYSTEM INC 19,200 1,782,720
RYLAND GROUP INC 10,027 386,641
S & T BANCORP 5,189 154,684
SAFETY INSURANCE GROUP INC 5,031 322,034
SANCHEZ ENERGY CORP 18,636 173,128
SANDERSON FARMS INC 9,403 790,087
SANDRIDGE ENERGY INC 112,127 204,071

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SANDY SPRING BANCORP INC 9,445 246,326
SANFILIPPO (JOHN B) & SON INC. 500 22,750
SANMINA CORP 33,971 799,338
SCANSOURCE INC 7,168 287,867
SCHNITZER STEEL INDS INC CL A 10,682 240,986
SCHOLASTIC CORP 3,400 123,828
SCHWEITZER-MAUDUIT INTL INC 286 12,098
SCICLONE PHARMACEUTICALS INC 15,209 133,231
SCORPIO TANKERS INC 47,405 411,949
SCRIPPS (EW) CO CL A 18,451 412,380
SEABOARD CORP 24 100,751
SEACHANGE INTL INC 16,164 103,126
SEACOAST BANKING CORP FLORIDA 3,260 44,825
SEACOR HOLDINGS INC 7,871 580,959
SELECT MEDICAL HLDGS CORP 40,903 589,003
SELECTIVE INSURANCE GROUP INC 22,770 618,661
SEMGROUP CORP-CLASS A 3,773 258,035
SENSIENT TECHNOLOGIES CORP 10,187 614,684
SERVICE CORP INTERNATIONAL INC 18,075 410,303
SHENANDOAH TELECOM CO 9,342 291,938
SHILOH INDUSTRIES 6,300 99,099
SHIP FINANCE INTL LTD (NY) 17,328 244,671
SHOE CARNIVAL 5,200 133,588
SHORETEL INC 33,400 245,490
SHULMAN A INC 10,088 408,867
SHUTTERFLY INC 5,702 237,745
SIERRA BANCORP 700 12,292
SIGMA DESIGNS INC 11,800 87,320
SIGNET JEWELERS LTD (US) 17,799 2,341,814
SILGAN HOLDINGS INC 1,600 85,760
SILICON IMAGE INC 27,410 151,303
SILICON LABORATORIES INC 2,272 108,193
SIMMONS 1ST NATL CORP CL A 4,900 200,263
SIMPSON MANUFACTURING CO 19,145 662,417
SIZMEK INC 10,861 67,990
SKECHERS USA INC CL A 19,200 1,060,800
SKULLCANDY INC 21,900 201,261
SKYWEST INC 36,100 480,852
SKYWORKS SOLUTIONS INC 24,273 1,764,890
SL INDUSTRIES INC 600 23,400
SM ENERGY CO 5,666 218,594
SNAP-ON INCORPORATED 600 82,044
SNYDERS LANCE INC 14,048 429,166

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SONIC AUTOMOTIVE INC CL A 15,862 429,305
SONIC CORP 7,700 209,671
SONOCO PRODUCTS CO 2,329 101,777
SONUS NETWORKS INC 92,352 366,637
SOUTH STATE CORP 1,308 87,741
SOUTHSIDE BANCSHARES INC 2,100 60,711
SOUTHWEST BANCORP INC OKLA 7,062 122,596
SPAN-AMERICA MED SYSTEMS INC 547 9,846
SPANSION INC CL A 26,870 919,491
SPARTAN MOTORS INC 8,200 43,132
SPARTANNASH CO 7,602 198,716
SPECTRUM PHARMACEUTICAL INC 25,567 177,179
SPIRIT AIRLINES INC 19,731 1,491,269
ST JOE COMPANY 3,000 55,170
STANCORP FINL GROUP INC 17,932 1,252,730
STANDARD PACIFIC CORP 14,598 106,419
STARTEK INC 139 1,355
STATE AUTO FINANCIAL CORP 500 11,110
STATE BANK FINANCIAL CORP 60,061 1,200,019
STEEL DYNAMICS INC 110,400 2,191,992
STEELCASE INC CLASS A 196 3,539
STEIN MART INC 4,600 67,597
STEINER LEISURE LTD 1,495 69,084
STEPAN CO 464 18,597
STERIS CORPORATION 1,826 118,416
STERLING BANCORP/DE 24,208 348,111
STEWART INFORMATION SERVICES 8,323 308,284
STIFEL FINANCIAL CORP 9,609 490,251
STILLWATER MINING CO 47,327 697,600
STOCK YARDS BANCORP INC 3,100 103,354
STONE ENERGY CORP 20,434 344,926
STONERIDGE INC 11,395 146,540
SUN BANCORP INC NJ 799 15,501
SUNCOKE ENERGY INC 28,300 547,322
SUPER MICRO COMPUTER INC 16,015 558,603
SUPERIOR ENERGY SERVICES INC 65,195 1,313,679
SUPERIOR INDUSTRIES INTL 2,200 43,934
SUSQUEHANNA BANCSHARES INC PA 75,882 1,019,095
SVB FINL GROUP 6,431 746,446
SWIFT ENERGY CO 3,072 12,442
SYKES ENTERPRISES INC 17,748 416,546
SYMETRA FINANCIAL CORP 48,130 1,109,397
SYMMETRY SURGICAL INC 99 771

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SYNNEX CORP 15,344 1,199,287
SYNOVUS FINANICAL CORP 5,825 158,382
TAKE-TWO INTERACTV SOFTWR INC 15,479 433,876
TAL INTL GROUP INC 12,628 550,202
TANDY LEATHER FACTORY INC 1,300 11,739
TARGACEPT INC 15,300 40,239
TCF FINANCIAL CORPORATION 35,221 559,662
TECH DATA CORP 15,429 975,576
TEEKAY CORP 8,050 409,665
TELECOMMUNICATION SYST INC A 18,455 57,580
TELEDYNE TECHNOLOGIES INC 4,750 488,015
TELENAV INC 15,600 104,052
TELEPHONE & DATA SYSTEMS INC 38,716 977,579
TERRITORIAL BANCORP INC 2,566 55,297
TESCO CORP 15,193 194,774
TESORO CORP 18,020 1,339,787
TETRA TECH INC 7,764 207,299
TETRA TECHNOLOGIES INC 83,663 558,869
TEXAS CAPITAL BANCSHARES INC 1,157 62,860
TEXTAINER GROUP HLDGS LTD 12,457 427,524
THE CHILDRENS PLACE INC 9,116 520,820
TIDEWATER INC 15,810 512,402
TILLY’S INC 600 5,814
TIME INC 998 24,561
TIMKEN CO 12,644 539,646
TIMKENSTEEL CORP 6,322 234,104
TITAN INTERNATIONAL INC 96,112 1,022,151
TITAN MACHINERY INC 50,900 709,546
TOLL BROTHERS INC 17,694 606,373
TOOTSIE ROLL INDUSTRIES INC 805 24,738
TOWN SPORTS INTL HLDGS INC 900 5,355
TOWNE BANK 2,200 33,506
TRC COMPANIES INC 1,500 9,510
TREEHOUSE FOODS INC 6,085 520,450
TRIANGLE PETROLEUM CORP 3,508 16,768
TRICO BANCSHARES 4,500 111,150
TRIMAS CORP 2,509 78,507
TRINITY INDUSTRIES INC 51,910 1,453,999
TRIPLE-S MANAGEMENT CORP CL B 11,300 270,183
TRIQUINT SEMICONDUCTOR INC 63,771 1,756,891
TRIUMPH GROUP INC 23,650 1,589,753
TRONOX INC 2,835 67,700
TRUSTCO BANK CORP NY 29,367 215,132

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TRUSTMARK CORP 27,416 672,789
TRW AUTOMOTIVE HLDGS CORP 3,135 322,435
TTM TECHNOLOGIES INC 28,756 216,533
TUTOR PERINI CORP 19,248 463,299
TWIN DISC INC 4,160 82,618
UGI CORP NEW 29,388 1,121,966
ULTRA CLEAN HOLDINGS INC 3,000 27,840
ULTRAPETROL BAHAMAS LTD 17,106 36,607
UMB FINANCIAL CORP 4,679 267,288
UMPQUA HOLDINGS CORP 39,188 673,082
UNIFIRST CORP 1,628 197,776
UNION BANKSHARES CORP 8,482 204,247
UNIT CORP 46,689 1,592,095
UNITED BANKSHARES INC. W VA. 18,738 707,734
UNITED COMMUNITY BANKS GA 654 12,419
UNITED FINL BANCORP INC NEW 14,156 203,280
UNITED FIRE GROUP INC 5,200 154,596
UNITED ONLINE INC 8,442 122,831
UNITED RENTALS INC 21,303 2,173,119
UNITED STATES CELLULAR CORP 5,504 219,224
UNITED STATES LIME & MIN INC 320 23,315
UNITED STATES STEEL CORP 45,992 1,229,826
UNITED STATIONERS INC 7,266 307,352
UNIVERSAL CORP 871 38,307
UNIVERSAL ELECTRONICS INC 3,912 254,397
UNIVERSAL FOREST PRODUCTS INC 16,650 885,780
UNIVERSAL INSURANCE HLDGS INC 12,783 261,412
UNIVERSAL TECH INST INC 5,805 57,121
UNIVEST CORP PA 6,587 134,638
US SILICA HOLDINGS INC 17,294 446,620
UTI WORLDWIDE INC 35,659 430,404
VAALCO ENERGY INC 500 2,280
VAIL RESORTS INC 5,264 481,893
VALIDUS HOLDING 11,582 481,348
VALLEY NATL BANCORP 91,097 894,573
VCA INC 23,062 1,124,734
VECTRUS INC 4,208 115,299
VEECO INSTRUMENT 2,682 93,548
VERIFONE SYSTEMS INC 18,447 686,228
VERSAR 3,100 9,796
VIAD CORP 6,800 181,968
VIASYSTEMS GROUP INC NEW 800 13,024
VIEWPOINT FINANCIAL GROUP INC 39,845 950,303

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VILLAGE SUPER MKT INC CL A NEW 400 11,048
VISHAY INTERTECHNOLOGY INC 157,842 2,233,464
VISHAY PRECISION GROUP INC 1,604 27,525
VISTEON CORP 8,230 879,458
VITAMIN SHOPPE INC 2,688 130,583
VONAGE HOLDINGS CORP 10,190 38,824
VOXX INTERNATIONAL CORP 8,500 74,460
VSE CORP 1,600 105,440
W&T OFFSHORE INC 30,758 225,764
WARREN RESOURCES INC 187 301
WASHINGTON FEDERAL INC 44,291 981,046
WASHINGTON TR BANCORP INC 4,140 167,670
WASTE CONNECTIONS INC 12,686 558,057
WATERSTONE FINANCIAL INC 3,508 46,130
WATTS WATER TECH INC CL A 11,709 742,819
WAYSIDE TECHNOLOGY GROUP INC 800 13,768
WEBMD HEALTH CORPORATION 915 36,188
WEBSTER FINANCIAL 25,675 835,208
WEIS MARKETS INC 1,400 66,948
WELLCARE HEALTH PLANS INC 2,530 207,612
WENDYS CO 160,508 1,449,387
WERNER ENTERPRISES INC 11,452 357,302
WESBANCO INC 9,789 342,811
WESCO AIRCRAFT HOLDINGS INC 38,482 537,978
WESCO INTERNATIONAL INC 1,949 148,533
WEST BANCORPORATION INC 1,884 32,066
WEST MARINE INC 90,440 1,168,485
WESTELL TECHNOLOGIES INC CL A 3,100 4,650
WESTERN REFINING INC 8,018 302,920
WHITING PETROLEUM CORP 12,386 408,738
WILEY (JOHN) & SONS INC CL A 9,464 563,392
WILEY (JOHN) & SONS INC CL B 176 10,319
WILLBROS GROUP INC 19,631 123,086
WILLIAMS CLAYTON ENERGY INC 3,668 234,018
WILSHIRE BANCORP INC 30,532 310,816
WINDSTREAM HOLDINGS INC 237,527 2,016,604
WINTRUST FINANCIAL CORP 15,831 740,258
WOLVERINE WORLD WIDE INC 13,966 412,416
WORLD FUEL SERVICES CORP 520 24,423
WPX ENERGY INC 57,325 666,690
WSFS FINANCIAL CORP 3,300 253,737
XO GROUP INC 4,200 76,482
XPO LOGISTICS INC 4,154 169,816

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ZEP INC — ZIONS BANCORP 3,260 — 71,798 49,389 — 2,046,961
ZUMIEZ INC 105 4,056
DFA Small Mid Value Account 430,242,700
PIMCO Total Return Account
Mutual Funds
HIGH YIELD PORTFOLIO INSTL CL 1,546,434 11,505,466
PAPS SR FLOATNG RATE PORTFOLIO 93,706 923,939
PIMCO ASSET BACK SECS PORT-UNL 1,082,450 13,260,017
PIMCO EMMERG MKTS FD INST CL 1,755,065 16,953,928
PIMCO INTL PORT FUND(UNLISTED) 9,677,735 47,130,571
PIMCO INV GRD CORP PORT(UNLST) 8,217,097 82,417,479
PIMCO MTG PORT INSTL CL(UNLST) 13,002,788 141,080,245
PIMCO MUNI SECTR PORT INSTL CL 744,802 6,122,271
PIMCO REAL RETRN BD FD INST CL 8,066,800 70,745,836
PIMCO SHORT TERM PORT INSTL CL 1,214,652 11,551,340
PIMCO SHORT TM FLT NAV PORT II 4,808,020 48,131,478
PIMCO US GOVT SECTOR PORT INST 9,493,627 88,575,543
SSBK GOVT STIF FUND 300,770 300,763
PIMCO Total Return Account 538,698,876
Russell International Growth Account
Currency
AUSTRALIAN DOLLAR CURRENCY 40 33
BRAZILIAN REAL 1 110,409
BRITISH POUND STERLING CURRENCY 3 4
BRITISH POUND STERLING CURRENCY 9 43,263
BRITISH POUND STERLING CURRENCY 30 46
BRITISH POUND STERLING CURRENCY 647 37,675
CANADIAN DOLLAR 0 0
CANADIAN DOLLAR 25,221 21,708
CANADIAN DOLLAR 0 0
EGYPTIAN POUND 214 30
EURO MONETARY UNIT. 0 0
EURO MONETARY UNIT. (65,365 ) (79,095 )
EURO MONETARY UNIT. 24 29
EURO MONETARY UNIT. 3,744 4,530
HONG KONG DOLLAR 46 6
HONG KONG DOLLAR 0 53,651
HONG KONG DOLLAR 0 0
HONG KONG DOLLAR 3,256 420
MALAYSIAN RINGGIT 20,654 5,907

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MALAYSIAN RINGGIT 1 (25,049 )
POLAND ZLOTY NEW 0 0
SOUTH KOREAN WON 672 1
SOUTH KOREAN WON 1,483 1
TAIWAN DOLLAR 1,696,724 53,607
TAIWAN DOLLAR 10 0
TURKISH LIRA (NEW) 0 0
Forward Currency Contracts
CURRENCY CONTRACT – USD 110,334 110,334
CURRENCY CONTRACT – USD (293,488 ) (110,256 )
CURRENCY CONTRACT – USD 31,320 31,320
CURRENCY CONTRACT – USD (242,995 ) (31,335 )
CURRENCY CONTRACT – USD 16,723 16,723
CURRENCY CONTRACT – USD (129,739 ) (16,730 )
CURRENCY CONTRACT – USD 5,583 5,583
CURRENCY CONTRACT – USD (43,311 ) (5,585 )
MALAYSIAN RINGGIT 87,586 25,039
MALAYSIAN RINGGIT (25,075 ) (25,075 )
Futures
CAC40 10 INDEX FUT JAN15 CFF5 26 8,809
FTSE 100 IDX FUT MAR15 Z H5 33 14,401
HANG SENG IDX FUT JAN15 HIF5 4 5,003
IBEX 35 INDEX FUT JAN15 IBF5 4 (576 )
S&P/TSX 60 IX FUT MAR15 PTH5 11 (4,545 )
SPI 200 FUT MAR15 XPH5 11 225
TOPIX INDX FUT MAR15 TPH5 31 (23,293 )
Mutual Funds
SSBK GOVT STIF FUND 21,274,299 21,462,519
Publicly-traded Common Stock
ABB LTD (REG) (SWIT) 63,481 1,349,817
AIA GROUP LTD 176,400 981,561
AIA GROUP LTD 1,012,000 5,631,176
AIA GROUP LTD 377,000 2,097,780
AIR CHINA LIMITED H 426,000 344,441
AIR LIQUIDE SA 42,179 5,249,330
AIRASIA BHD 4,413,735 3,433,536
AKZO NOBEL NV 21,423 1,494,455
ALFA LAVAL AB 126,355 2,403,736
ALIBABA GROUP HLD LTD SPON ADR 4,070 423,036
ALIBABA GROUP HLD LTD SPON ADR 15,000 1,559,100
ALIMENTATION COUCH CL B SUBVTG 59,840 2,507,841
ALUMINA LTD 1,226,329 1,797,109
AMADEUS IT HOLDING SA CL A 196,515 7,867,381

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AMVIG HOLDINGS LIMITED 3,689,640 1,593,920
ANHEUSER BUSCH INBEV NV 33,180 3,768,428
ARM HOLDINGS PLC 198,491 3,078,212
ARM HOLDINGS PLC 88,483 1,372,201
ASHTEAD GROUP PLC 127,781 2,294,317
ASICS CORP 108,900 2,651,130
ASPEN PHARMACARE HOLDINGS PLC 20,792 729,749
ASSA ABLOY AB SER B 36,545 1,944,554
ASTELLAS PHARMA INC 159,800 2,249,981
ASTRAZENECA PLC (UK) 37,729 2,678,835
ATLAS COPCO AB SER A 47,888 1,341,629
AUSTRALIA & NZ BANKING GRP 233,650 6,121,227
BAIDU INC SPON ADR 3,370 768,259
BAIDU INC SPON ADR 10,400 2,370,888
BANCO BILBAO VIZ AR SA RT 1/15 108,824 10,403
BANCO BILBAO VIZ ARGENTARIA SA 108,824 1,034,234
BANK OF IRELAND (IRISH) 2,369,296 897,361
BANK RAKYAT INDONESIA TBK PT 761,200 716,026
BAYER AG 94,725 12,952,284
BB SEGURIDADE PARTICIPACOES SA 54,400 658,154
BEIERSDORF AG 65,007 5,303,373
BEIJING ENTERPRISES HLDGS LTD 77,500 607,635
BG GROUP PLC 82,506 1,112,337
BNP PARIBAS (FRAN) 19,757 1,177,657
BNP PARIBAS (FRAN) 67,974 4,051,731
BRENNTAG AG 10,955 9,758
BRIDGESTONE CORP 85,025 3,009,025
BRILLIANCE CH AUTO HLDG LTD 230,000 369,559
BRITISH AMER TOBACCO PLC (UK) 32,923 1,795,983
BS FINANCIAL GROUP INC 40,144 542,516
BURBERRY GROUP PLC 90,479 2,320,776
CAE INC 156,040 2,025,377
CANADIAN NATL RAILWAY CO 113,802 7,842,096
CATCHER TECHNOLOGY GDR REGS 44,694 1,740,384
CEMEX SAB DE CV SPON ADR 94,600 963,974
CEMEX SAB DE CV SPON ADR 88,224 899,003
CETIP SA MERCADOS ORGANIZADO 41,400 506,340
CHINA CINDA ASSET MGT CO LTD H 709,000 345,602
CHINA CONSTRUCTION BANK CORP H 1,939,000 1,592,777
CHINA LIFE INS CO LTD H 333,000 1,307,583
CHINA MOBILE LIMITED 122,500 1,429,626
CHINATRUST FI(JPM)(CWT)3/9/16 1,281,173 831,825
CNOOC LTD 273,000 367,537

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COGNIZANT TECH SOLUTIONS CL A 17,900 942,614
COMMERCIAL INTL BK EGYPT SAE 69,148 474,845
COMPASS GROUP PLC 647,585 11,374,183
COMPASS GROUP PLC 97,824 1,678,678
COPA HOLDINGS SA CL A 24,732 2,563,224
CORPORACION INMO VESTA SAB CV 334,700 664,239
CREDICORP LTD (USA) 5,550 888,999
CSR CORP LTD H 969,000 1,304,554
DANONE NEW 90,350 5,952,911
DBS GROUP HOLDINGS LTD 219,000 3,405,730
DENSO CORP 188,100 8,875,782
DEUTSCHE TELEKOM AG (REGD) 75,490 1,210,343
DIAGEO PLC 32,104 924,939
DIAGEO PLC 178,718 5,148,994
DSV DE SAMMENSLUT VOGN 46,667 1,427,054
ELECTROLUX AB SER B 84,238 2,472,392
ELECTROLUX AB SER B 47,650 1,398,531
ELEMENT FINANCIAL CORP 141,980 1,728,006
EMAAR PROPERTIES 226,416 447,525
EMBRAER S A SPON ADR 20,800 770,535
ENN ENERGY HOLDINGS LTD 200,000 1,134,803
ERICSSON (LM) TELE CO CL B 76,006 919,905
ESSILOR INTERNATIONAL SA(FRAN) 36,932 4,141,829
ESSILOR INTERNATIONAL SA(FRAN) 21,821 2,447,169
EUROFINS SCIENTIFIC SE 4,945 1,268,843
EXPERIAN PLC 114,015 1,933,417
FANUC CORPORATION 24,200 4,029,629
FMTC INR UNREALIZED GAIN/LOSS 1 (14,595 )
FOMENTO ECONO MEX(FEMSA)SP ADR 12,153 1,069,829
FUCHS PETROLU SE (GERW) PFD 66,049 2,661,023
GALP ENERGIA SGPS SA 108,382 1,105,706
GCL POLY ENERGY HOLDGS LIMITED 446,000 103,525
GDF SUEZ 223,240 5,248,656
GEBERIT AG (REG) 9,989 3,399,998
GILDAN ACTIVEWEAR INC 32,670 1,851,742
GLENCORE PLC 269,091 1,253,183
GLOBAL BRANDS GROUP HLDG LTD 4,546,000 891,068
GREATVIEW ASEPTIC PACK CO LTD 2,940,310 1,520,461
GREEK ORG OF FOOTBL PROGNOC SA 38,435 413,924
GROUPE EUROTUNNEL SE 79,876 1,034,197
GRUPO FINANCIERO BANORTE SAB 134,000 737,494
GRUPO TELEVISA (CPO) SPON ADR 23,900 814,034
H LUNDBECK AS 23,596 470,812

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HAIER ELECTRONICS GRP CO LTD 228,000 542,756
HDFC BANK LTD (DEMAT) 27,880 479,601
HDFC BANK LTD SPON ADR 11,000 558,250
HDFC BANK LTD SPON ADR 83,000 4,212,250
HEIDELBERGCEMENT AG (GERW) 13,644 970,949
HEINEKEN NV 40,345 2,877,908
HENDERSON GROUP PLC 258,420 861,935
HENGAN INTL GRP CO LTD 58,500 611,430
HENGAN INTL GRP CO LTD 299,500 3,130,312
HENNES & MAURITZ AB B 172,645 7,210,936
HERMES MICROVISION INC (ELN) W 12,000 606,616
HINDALCO INDS LTD 178,521 446,196
HITACHI LTD 231,000 1,737,032
HIWIN TECH (HSBC)(CWT) 6/3/24 1,605 13,438
HIWIN TECH CRP(HSBC)(CWT)7/21 34,395 287,974
HONDA MOTOR CO LTD 189,800 5,622,060
HOWDEN JOINERY GROUP PLC 458,147 2,877,694
HSBC HOLDINGS PLC (UK REG) 929,555 8,817,424
HYUNDAI MOTOR CO 4,196 655,877
ICICI BANK LTD (DEMAT) 144,210 807,814
ICICI BANK LTD SPONS ADR 31,000 358,050
ICICI BANK LTD SPONS ADR 140,500 1,622,775
IMPERIAL OIL LTD 24,880 1,074,607
INDOFOOD SUKSES MAKMR (DEMAT) 771,500 420,478
INFINEON TECHNOLOGIES AG 118,453 1,267,790
ING GROEP NV CVA 518,561 6,795,660
INPEX CORP 386,400 4,340,468
INTERCONTINENTAL HOTELS GP PLC 111,659 4,516,123
INTERTEK GROUP PLC 118,594 4,314,180
ISUZU MOTORS LTD 148,600 1,837,960
ITAU UNIBANCO HLDG SA SPON ADR 72,100 938,446
ITC LTD (UBS) (CWT) 05/02/13 122,299 715,343
JAMES HARDIE INDUSTRES PLC CDI 108,807 1,180,705
JAPAN TOBACCO INC 62,210 1,754,428
JBS SA 116,800 492,122
JC DECAUX SA 35,930 1,241,923
JSC MMC NORILSK NICKL ADR (UK) 20,692 326,638
KASIKORNBANK PCL NVDR 136,700 951,846
KEYENCE CORP 14,500 6,513,984
KONE OYJ B 27,643 1,265,057
KROTON EDUCACIONAL SA 91,000 530,622
LARGAN PREN CO LTD CWT 8/17/20 8,000 605,352
LENOVO GROUP LTD 1,362,000 1,791,493

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LG CHEMICAL LTD 1,995 337,468
LI & FUNG LTD 3,300,000 3,089,501
LINDE AG 41,024 7,654,656
LOCALIZA RENT A CAR SA 24,800 333,161
L’OREAL SA ORD 11,247 1,895,794
L’OREAL SA ORD 27,079 4,564,435
LUKOIL OIL CO SPONS ADR (UK) 21,168 872,385
LVMH 36,317 5,811,777
MAGNIT PJSC (USD) 2,601 422,682
MAIL.RU GROUP LTD GDR REGS 8,320 135,616
MARUTI SUZKI(UBSAG)(CWT)2/9/15 13,197 697,127
MATAHARI DEPARTMENT STORE TBK 343,200 415,664
MEDIA TEK INC 64,000 934,188
MEDIATEK INC (UBS) (ELN) 8/16 20,200 294,853
MEDICLINIC INTERNATIONAL LTD 73,027 635,402
MEG ENERGY CORP 59,800 1,006,275
METHANEX CORP 49,435 2,270,912
METROPOLITAN BANK & TRUST CO 413,138 765,668
MITSUBISHI HEAVY INDS LTD 251,000 1,403,572
MITSUBISHI UFJ FINL GRP INC 227,400 1,261,540
MITSUI FUDOSAN CO 43,000 1,168,517
MOBILEYE NV 15,900 644,904
MTN GROUP LTD 35,296 675,575
NASPERS LTD N SHS 10,190 1,334,665
NESTLE SA (REG) 121,214 8,894,147
NESTLE SA (REG) 75,369 5,530,244
NINE DRAGONS PAPER (HLDGS) LTD 234,000 207,486
NOVARTIS AG (REG) 58,747 5,456,936
NOVO-NORDISK AS CL B 76,198 3,222,764
ONO PHARMACEUTICAL CO LTD 31,790 2,847,777
ONO PHARMACEUTICAL CO LTD 39,400 3,529,487
ORKLA ASA 168,463 1,156,163
PEGATRON CORP 86,000 198,351
PERNOD-RICARD 51,337 5,731,222
PETROCHINA CO LTD H 386,000 428,079
PLASTIC OMNIUM CIE 82,707 2,263,300
POSCO 1,213 312,217
POWSZECHNA KASA OSZCZ BK SA 63,784 644,226
PRESIDENT CHAIN(HSBC)(CWT)9/24 58,000 448,043
PRUDENTIAL PLC 49,008 1,139,647
PTT GLOBAL CHEMICAL PCL (FOR) 653,120 1,017,769
PTT PCL NVDR 55,100 542,824
RANDSTAD HOLDINGS NV 165,941 8,043,924

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RATIONAL AG 5,497 1,727,765
RENAULT SA ORD 40,264 2,949,110
RICHEMONT CIE FINANCIERE SA A 37,508 3,350,141
ROCHE HLDGS AG (GENUSSCHEINE) 9,473 2,571,678
ROCHE HLDGS AG (GENUSSCHEINE) 19,807 5,377,096
ROLLS-ROYCE HOLDINGS PLC 323,824 4,390,995
ROTORK PLC 107,806 3,908,295
SAFRAN (SOCIETE D APPLICAT) 28,018 1,737,538
SAMSONITE INTERNATIONAL S.A. 602,335 1,786,503
SAMSUNG ELECTRONICS CO LTD 1,763 2,161,394
SANDS CHINA LTD 431,200 2,121,344
SANOFI 18,797 1,720,910
SAP SE 127,761 9,006,833
SAP SE 18,523 1,305,825
SAP SE 60,614 4,273,136
SBERBANK OF RUSSIA (USD) 145,786 131,747
SCHINDLER HOLDING AG PART CERT 33,963 4,919,203
SCHNEIDER ELECTRIC SE 81,410 5,970,701
SCHNEIDER ELECTRIC SE 18,594 1,363,705
SEVEN & I HOLDINGS CO LTD 56,500 2,055,896
SHIMANO INC 17,500 2,294,154
SHIN-ETSU CHEMICAL CO LTD 109,800 7,210,609
SHINHAN FINANCIAL GROUP CO LTD 17,892 737,825
SINGAPORE EXCHANGE LTD 408,000 2,405,526
SINOPHARM GROUP CO LTD H 114,800 406,370
SK HYNIX INC 22,855 997,866
SK HYNIX INC 35,581 1,553,493
SM INVESTMENTS CORP 29,262 532,512
SMC CORP 4,100 1,094,315
SOFTBANK CORP 17,400 1,047,370
SONY CORP 73,000 1,506,867
SPIRAX-SARCO ENGINEERING PLC 84,958 3,808,271
SPOTLESS GROUP HOLDINGS LTD 1,619,766 2,525,740
STRATASYS LTD 13,608 1,130,961
SVENSKA HANDELSBANKEN SER A 102,423 4,816,629
SWATCH GROUP AG (BR) 5,075 2,267,466
TAIHEIYO CEMENT CORP 792,010 2,506,026
TAIWAN SEMIC MFG CO LTD SP ADR 89,600 2,005,248
TAIWAN SEMIC MFG CO LTD SP ADR 418,270 9,360,883
TAIWAN SEMIC MFG CO LTD SP ADR 114,800 2,569,224
TAIWAN SEMIC MFG CO LTD SP ADR 169,300 3,788,934
TASLY PHARMA A (JPM)(CWT)11/19 21,000 139,073
TAV HAVALIMANLARI HOLDING ASA 59,519 486,952

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TENAGA NASIONAL BHD 146,900 579,786
TENCENT HOLDINGS LIMITED 93,000 1,349,190
TENCENT HOLDINGS LIMITED 74,600 1,082,254
TEVA PHARMACEUTICAL IND ADR 40,501 2,329,213
TIGER BRANDS LTD 17,049 542,461
TIM PARTICIPACOES SA SPON ADR 17,700 393,117
TOKIO MARINE HOLDINGS INC 61,940 2,034,071
TOWNGAS CHINA CO LTD 2,534,560 2,568,993
TRANSURBAN GROUP STAPLED UNIT 409,635 2,934,588
TRICAN WELL SERVICE LTD 203,435 1,001,591
TURK HAVA YOLLARI AO 121,780 502,342
UBS GROUP AG 342,345 5,884,808
UBS GROUP AG 79,100 1,359,705
UCB SA 22,687 1,734,992
ULKER BISKUVI SANAYI AS 59,267 470,927
ULTRA TECH (UBS) (CWT) 12/15 13,101 556,182
UNICHARM CORP 116,600 2,840,920
UNICREDIT SPA 189,581 1,223,862
UNILEVER NV CVA (BEARER) 112,293 4,435,128
UNILEVER PLC ORD 68,313 2,798,101
VALEO SA 14,369 1,801,315
VALLOUREC SA 60,895 1,676,356
VANGUARD INTL SEMICONDUCT CORP 277,000 457,714
VIPSHOP HLDGS LTD ADR 49,000 957,460
VOLKSWAGEN AG 5,730 1,248,739
WACKER CHEMIE AG 8,194 902,774
WANT WANT CHINA HOLDINGS LTD 2,403,695 3,167,875
WOOLWORTHS HOLDINGS LTD (SOAF) 75,037 500,128
WOOLWORTHS LTD (AUSTRALIA) 147,124 3,685,037
WPP PLC NEW (UK) 248,390 5,207,042
WPP PLC NEW (UK) 67,922 1,423,860
WUXI PHARMATECH CAYMAN SPN ADR 84,693 2,851,613
YUM BRANDS INC 86,672 6,314,055
ZEE ENTERTAINMT ENT LTD(DEMAT) 122,958 742,703
Russell International Growth Account 604,311,508
Russell International Value Account
Cash Equivalents
BRITISH POUND STERLING CURRENCY 3,221 5,020
CANADIAN DOLLAR 727 626
TURKISH LIRA (NEW) 18,391 7,878
Equity/Convertible
BANRO CORP WT 03/31/17 144A 5,616 0

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CHINA HONGXING SPORTS LTD 3,613,000 156,832
Fixed Income
CURRENCY CONTRACT – USD 91,345 91,345
CURRENCY CONTRACT – USD (708,692 ) (91,389 )
CURRENCY CONTRACT – USD 397,431 397,431
CURRENCY CONTRACT – USD (47,934,650 ) (400,210 )
CURRENCY CONTRACT – USD 43,121 43,121
CURRENCY CONTRACT – USD (334,531 ) (43,139 )
FTSE 100 IDX FUT MAR15 Z H5 49 21,384
HANG SENG IDX FUT JAN15 HIF5 3 3,753
MINI MSCI EMG MKT MAR15 MESH5 208 11,440
S&P/TSX 60 IX FUT MAR15 PTH5 7 (2,892 )
S&P500 EMINI FUT MAR15 ESH5 28 (34,020 )
SPI 200 FUT MAR15 XPH5 8 163
TOPIX INDX FUT MAR15 TPH5 23 (17,282 )
Forward Currency Contracts
CANADIAN DOLLAR 83,000 71,433
CANADIAN DOLLAR (71,572 ) (71,572 )
CURRENCY CONTRACT – EUR 290,000 350,915
CURRENCY CONTRACT – EUR (351,877 ) (351,877 )
CURRENCY CONTRACT – USD 31,594 31,594
CURRENCY CONTRACT – USD (110,674 ) (31,653 )
CURRENCY CONTRACT – USD 35,291 35,291
CURRENCY CONTRACT – USD (123,272 ) (35,241 )
CURRENCY CONTRACT – USD 329,771 329,771
CURRENCY CONTRACT – USD (2,019,000 ) (328,055 )
CURRENCY CONTRACT – USD 260,627 260,627
CURRENCY CONTRACT – USD (1,600,000 ) (259,988 )
CURRENCY CONTRACT – USD 386,268 386,268
CURRENCY CONTRACT – USD (46,170,000 ) (385,480 )
JAPANESE YEN 21,262,000 177,518
JAPANESE YEN (177,969 ) (177,969 )
Mutual Funds
SSBK GOVT STIF FUND 24,018,449 23,255,684
Publicly-traded Common Stock
3I GROUP PLC 217,463 1,542,082
A P MOLLER – MAERSK S/A B 261 524,591
AAC TECHNOLOGIES HOLDINGS INC 126,500 677,797
ABB LTD (REG) (SWIT) 214,072 4,551,883
ABB LTD (REG) (SWIT) 65,375 1,390,090
ACACIA MINING PLC 80,590 320,802
ACCIONA SA 2,890 196,534
ACE LTD 10,025 1,158,188

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ACS ACTIVIDADES CONST Y SRV SA 4,130 144,778
AFREN PLC 454,700 335,071
AGEAS (BELG) 26,010 928,623
AHOLD NV (KONINKLIJKE) 266,948 4,766,166
AHOLD NV (KONINKLIJKE) 117,870 2,104,485
AIR NEW ZEALAND LIMITED 109,806 211,566
AIRBUS GROUP NV 38,570 1,929,872
AKZO NOBEL NV 20,343 1,419,115
ALIMENTATION COUCH CL B SUBVTG 43,100 1,806,282
ALLIANCE GLOBAL GROUP INC 1,859,900 936,491
ALPARGATAS SA (PN) 180,278 491,692
AMEC FOSTER WHEELER PLC 52,350 707,058
ANHEUSER BUSCH INBEV NV 12,400 1,408,334
AOZORA BANK LTD 33,000 104,141
ARYZTA AG 12,417 961,062
ASM INTERNATIONAL NV (NETH) 17,570 746,246
ASTELLAS PHARMA INC 108,200 1,523,454
ASTRAZENECA PLC (UK) 7,160 508,374
ATKINS (WS) PLC 5,671 121,588
AVIVA PLC 232,288 1,754,104
AXA SA 64,160 1,491,015
AXIS BK LTD (MLSW) CWT 6/13/18 277,258 2,209,795
BAE SYSTEMS PLC 85,900 631,931
BAKKAFROST 6,174 138,756
BALKRISHNA IND(MQ BK)(CWT)6/16 87,073 846,695
BANCO SANTANDER SA (SPAIN) 303,893 2,572,609
BANK HANDLOWY W WARSZAWIE SA 33,539 1,013,118
BANK HAPOALIM LTD (REG) 194,001 915,169
BANK LEUMI LE-ISRAEL BM 237,544 814,854
BARCLAYS PLC ORD 476,488 1,808,363
BARRICK GOLD CORP (USA) 18,300 196,725
BAYER AG 14,908 2,038,455
BEIJING ENTERPRISES HLDGS LTD 132,000 1,034,940
BELLWAY PLC 3,570 107,890
BERENDSEN PLC 23,458 402,178
BERKELEY GRP HLDGS PLC 4,890 189,015
BNP PARIBAS (FRAN) 40,130 2,392,031
BOARDWALK REIT UNIT 9,100 494,320
BOLSA MEXICANA DE VALORES SA 805,600 1,458,994
BOMBARDIER INC CL B SUB VTG 21,200 75,727
BOUYGUES ORD 60,725 2,202,939
BP PLC 593,261 3,800,339
BP PLC 375,833 2,407,528

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BP PLC 546,777 3,502,569
BPOST SA 32,890 827,213
BRIDGESTONE CORP 11,800 417,601
BRITVIC PLC 0 8,389
BT GROUP PLC 460,611 2,910,400
BURSA MALAYSIA BHD 818,300 1,895,676
CALLOWAY REAL EST INVT TR REIT 22,900 540,734
CALTEX AUSTRALIA LTD 2,100 58,651
CANADIAN IMP BK OF COMMERCE 30,600 2,656,758
CANADIAN NATL RESOURCES LTD 0 2,611
CANADIAN TIR LT A PH DELIVEREY 2,200 232,422
CANFOR CORP NEW 22,500 574,023
CANON INC 125,900 4,126,068
CANON MARKETING JAPAN INC 21,300 366,855
CAP GEMINI SA (FF40) 25,600 1,842,529
CARILLION PLC 136,025 711,925
CARNIVAL PLC 7,560 343,946
CATHAY PACIFIC AIRWAYS LTD 51,000 111,146
CERVECERIAS UNIDAS SA CIA 105,975 986,603
CEZ AS 50,750 1,310,181
CHAODA MODERN AGRIC(HLDGS)LTD 1,354,000 37,912
CHEUNG KONG HLDGS LTD 150,000 2,520,423
CHINA MOBILE LIMITED 186,500 2,176,533
CHINA MOBILE LIMITED 209,950 2,450,204
COCA COLA WEST COMPANY LTD 17,300 242,934
COCA-COLA ICECEK SANAYI AS 59,372 1,284,310
COGECO CABLE INC SUB VTG 800 49,330
COMFORTDELGRO CORP LTD 183,000 359,189
COMINAR REAL ESTAT INV TR UNIT 39,800 637,526
COMPASS GROUP PLC 91,737 1,574,224
CONTAINER (MACQUARIE)(CWT)2/16 103,793 2,227,841
CONTINENTAL AG 6,850 1,455,106
CREDIT AGRICOLE SA 132,602 1,726,496
CREDIT SUISSE GROUP AG 94,912 2,394,280
CSL LIMITED 8,800 622,737
CTBC FINL HLDG CO LTD 2,144,748 1,392,518
CTT CORREIOS DE PORTUGAL SA 35,341 342,842
DAI ICHI LIFE INSURANCE CO 66,400 1,020,558
DAIMLER AG (GERW) 23,028 1,921,851
DANIELI & C SPA N/C RISP 5,100 84,731
DANSKE BK AS 32,630 887,530
DANSKE BK AS 56,600 1,539,510
DELHAIZE GROUP 10,830 791,926

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DELTA ELECTRONICS THAI (FOR) 759,800 1,628,737
DEUTSCHE BANK AG (GERW) 6,540 197,724
DEUTSCHE BOERSE AG 33,525 2,402,373
DEUTSCHE TELEKOM AG (REGD) 279,700 4,484,476
DIALOG SEMICONDUCTOR PLC (GER) 21,020 745,889
DMCI HOLDINGS INC 4,020,400 1,409,407
DNB ASA 37,410 555,654
DOWNER EDI LTD 136,700 526,761
DRAGON OIL PLC (UK) 17,724 148,482
DUERR AG 11,474 1,017,150
ECHO ENTERTAINMENT GROUP LTD 319,400 988,273
ENCANA CORP (US) 150,400 2,086,048
ENDESA SA 98,030 1,963,181
ENEL (ENTE NAZ ENERG ELET) SPA 378,300 1,691,888
ENEL (ENTE NAZ ENERG ELET) SPA 381,500 1,706,200
ENI SPA 169,602 2,977,842
ENI SPA 79,740 1,400,061
ENI SPA 195,150 3,426,410
ENN ENERGY HOLDINGS LTD 59,618 338,273
EURONEXT NV 5,817 188,606
EVRAZ PLC 146,900 353,741
FAURECIA SA 50,806 1,900,586
FED BANK LTD(ML) (CWT) 6/25/18 165,349 397,929
FINMECCANICA SPA 66,600 623,358
FOMENTO ECONO MEX(FEMSA)SP ADR 11,717 1,031,448
FORBO HOLDING AS (REG) 242 242,073
FORMOSA INTL HOTELS CORP 99,120 1,058,499
FRESENIUS SE & CO KGAA 1,390 72,594
FUJI HEAVY INDUSTRIES LTD 6,000 215,395
FUJIFILM HOLDINGS CORP 16,100 497,463
FUJITSU GENERAL LTD 37,000 359,868
FUJITSU LTD 109,000 586,314
GAM HOLDING LTD 39,350 712,432
GAS NATURAL SDG SA 16,530 416,244
GAZPROM O A O SPON ADR (UK) 468,000 2,176,200
GDF SUEZ 29,267 688,104
GENTING BHD (MLAY) 40,441 102,592
GIANT MANUFACTURING CO LTD 84,000 745,758
GLAXOSMITHKLINE PLC 208,236 4,516,197
GLAXOSMITHKLINE PLC 71,100 1,545,890
GPT GROUP REIT STAPLED 436,497 1,589,782
GRAND KOREA LEISURE CO LTD 30,383 925,080
GRASIM INDUS (CLSA) (CWT) 6/15 3,600 193,324

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GREAT WEST LIFECO INC 7,800 225,514
GRUPO FINANCIERO BANORTE SAB 180,800 995,066
H&R REIT / H&R FIN TR STAPLED 80,100 1,498,169
HAIER ELECTRONICS GRP CO LTD 578,976 1,378,257
HANA FINANCIAL GROUP INC 45,620 1,345,249
HANNOVER RUECKVERSICHERUNGS SE 10,860 985,191
HEIDELBERGCEMENT AG (GERW) 5,910 420,574
HEINEKEN HOLDING NV 6,880 432,325
HEINEKEN NV 8,280 590,633
HEIWA CORP 27,100 543,674
HELVETIA HOLDING AG 1,955 932,076
HENDERSON LAND DEVMT CO LTD 178,000 1,246,401
HITACHI CONST MACHINERY CO LTD 2,800 60,030
HOCHTIEF AG 5,350 378,845
HOME RETAIL GROUP PLC 0 4,578
HOME RETAIL GROUP PLC 23,000 74,384
HON HAI PRECISION IND CO LTD 763,301 2,119,812
HONDA MOTOR CO LTD 129,000 3,821,105
HONDA MOTOR CO LTD 115,600 3,424,184
HONGKONG LAND HLDGS LTD 18,000 121,680
HSBC HOLDINGS PLC (UK REG) 54,400 516,019
HSBC HOLDINGS PLC (UK REG) 256,625 2,434,252
HUTCHISON WHAMPOA LTD 10,000 115,092
IBERDROLA SA 689,603 4,670,440
IBERDROLA SA 368,800 2,497,753
IMPERIAL HOLDINGS LTD (SOAF) 96,182 1,538,214
IMPERIAL TOBACCO GROUP PLC 65,140 2,879,311
IMPERIAL TOBACCO GROUP PLC 62,700 2,771,459
INCHCAPE PLC 4,400 49,719
INDRA SISTEMAS SA 70,425 687,707
INFINEON TECHNOLOGIES AG 83,900 897,973
ING GROEP NV CVA 12,610 165,252
ING GROEP NV CVA 150,508 1,972,383
INTACT FINL CORP 27,700 1,999,178
INTERNATIONAL CONS AIRLNS (SP) 39,100 292,867
IPSEN PROMESSES 2,060 107,186
ISUZU MOTORS LTD 59,500 735,926
ITOCHU CORP (FORM C ITOH & CO) 197,500 2,130,322
ITV PLC 34,917 117,115
JAPAN AIRLINES CO LTD 51,500 1,547,838
JAPAN PETROLEUM EXPLRN CO LTD 18,800 596,427
JERONIMO MARTINS & FILHO SGPS 96,509 973,367
JSE LIMITED 153,867 1,609,467

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KANAMOTO CO LTD 0 200
KAO CORP 75,200 3,007,874
KAWASAKI KISEN KAISHA LTD 355,000 963,224
KBC GROUPE SA 18,000 1,012,703
KDDI CORP 20,700 1,319,802
KDDI CORP 21,800 1,389,937
KONINKLIJKE PHILIPS NV 97,480 2,848,630
KPN (KON) NV 642,275 2,042,442
LAND SECURITIES GROUP PLC 8,870 159,953
LINAMAR CORP 1,400 85,497
LONZA GROUP AG 14,050 1,585,607
M DIAS BRANCO SA 35,350 1,226,292
MAGNA INTL INC SUB VTG 15,000 1,625,366
MARCOPOLO SA (PN) 577,992 729,198
MARUBENI CORP 15,000 90,754
MARUTI SUZUKI (CLSA)(CWT) 5/15 53,655 2,834,305
MEDIASET ESPANA COMUNICACIN SA 13,700 173,154
MEGMILK SNOW BRAND CO LTD 4,100 49,256
MERCK KGAA 25,754 2,443,852
METALURGICA GERDAU SA PN 147,900 628,722
METHANEX CORP 4,400 201,652
METRO INC 4,700 377,440
MICHELIN CL B (REG) 2,150 195,823
MINERAL RESOURCES LTD 30,700 189,981
MITSUBISHI CHEMICAL HLDGS CORP 89,700 440,712
MITSUBISHI CORP 6,300 116,606
MITSUBISHI MATERIALS CORP 249,000 835,682
MITSUBISHI MOTORS CORP 22,600 209,434
MITSUBISHI UFJ FINL GRP INC 546,300 3,030,693
MITSUBISHI UFJ FINL GRP INC 248,400 1,378,041
MITSUI MINING & SMELTING CO 64,000 156,554
MIZUHO FINANCIAL GROUP INC 253,400 428,398
MMI HOLDINGS LTD 697,070 1,807,793
MS&AD INSURANCE GRP HLDGS INC 8,000 192,386
MS&AD INSURANCE GRP HLDGS INC 28,300 680,566
MUNICH REINSURANCE (REG) 7,152 1,434,447
NAMPAK LTD 573,685 2,163,268
NATIONAL GRID PLC 314,550 4,568,247
NATIXIS 139,075 923,058
NESTE OIL OYJ 20,020 485,958
NESTLE SA (REG) 59,248 4,347,356
NESTLE SA (REG) 18,825 1,381,295
NETEASE INC ADR 8,550 847,647

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NEWS CORP NEW CL A 116,025 1,820,432
NEWS CORP NEW CL B 69,085 1,041,802
NEXON CO LTD 33,200 313,208
NIPPO CORP 10,000 164,969
NIPPON SUISAN KAISHA LTD 220,400 693,695
NIPPON TELEGRAPH & TELEPHONE 42,800 2,219,325
NIPPON YUSEN KK 272,000 776,624
NISSAN MOTOR CO LTD ORD 26,700 235,614
NISSHINBO HOLDINGS INC 11,000 114,886
NKT HLDG AS 2,731 147,101
NN GROUP NV 17,512 526,475
NN GROUP NV 53,494 1,608,227
NOKIAN TYRES OYJ 48,375 1,187,699
NORDEX SE 22,830 414,520
NOVARTIS AG (REG) 45,056 4,185,196
NOVARTIS AG (REG) 31,837 2,957,299
NOVARTIS AG (REG) 21,715 2,017,079
NTT DOCOMO INC 127,800 1,886,378
NTT DOCOMO INC 91,100 1,344,672
OKI ELECTRIC INDUSTRY CO LTD 298,000 577,192
ORANGE 164,117 2,810,045
ORANGE 15,900 272,243
OTP BANK (REG) 97,190 1,415,931
OTP BANK (REG) 69,125 1,007,061
OTSUKA HOLDINGS CO LTD 40,500 1,236,504
PANDORA A/S 11,360 931,216
PARTNERRE LTD 7,809 891,241
PERUSAHAAN GAS NEGARA PT SER B 2,491,400 1,206,976
PEUGEOT SA 6,650 82,239
POSTNL NV 195,200 732,225
POWSZECHNY ZALKAD UBEZPIEC SA 12,632 1,782,771
PTT GLOBAL CHEMICAL PCL (FOR) 446,254 695,406
PUBLICIS GROUPE SA 24,126 1,741,110
QANTAS AIRWAYS LTD 757,800 1,484,803
QBE INSURANCE GROUP LTD 251,084 2,297,882
RALLYE SA 4,320 152,118
RECKITT BENCKISER GROUP PLC 11,460 930,587
REED ELSEVIER NV 73,290 1,759,502
REED ELSEVIER NV 28,372 681,138
REPSOL SA 15,080 283,658
RESONA HOLDINGS INC 74,900 382,629
RIO TINTO PLC (REGD) 22,542 1,054,019
ROCHE HLDGS AG (GENUSSCHEINE) 10,373 2,816,006

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ROCHE HLDGS AG (GENUSSCHEINE) 7,075 1,920,682
ROYAL BANK OF CANADA 19,100 1,319,146
ROYAL BANK OF SCOTLAND GRP PLC 355,090 2,182,780
ROYAL DUTCH SHELL PLC CL A(NL) 98,299 3,290,066
ROYAL DUTCH SHELL PLC CL A(NL) 102,100 3,417,285
ROYAL DUTCH SHELL PLC CL A(UK) 23,346 783,596
ROYAL DUTCH SHELL PLC CL A(UK) 11,093 372,330
ROYAL DUTCH SHELL PLC CL A(UK) 19,725 662,059
RSA INSURANCE GROUP PLC 201,132 1,363,657
RWE AG 61,147 1,897,867
RWE AG 1,700 52,764
SABMILLER PLC (UK) 29,533 1,547,073
SALMAR ASA 9,320 159,439
SANOFI 47,702 4,367,232
SANOFI 18,525 1,696,008
SAP SE 54,276 3,826,323
SCENTRE GROUP STAPLED UNIT 1 3
SCHNEIDER ELECTRIC SE 37,575 2,755,793
SECURITY BANK CORP 669,619 2,272,683
SEVEN & I HOLDINGS CO LTD 64,600 2,350,635
SHIMACHU CO LTD 4,000 97,846
SHIN-ETSU CHEMICAL CO LTD 41,300 2,712,187
SHIRE PLC 18,820 1,329,658
SIAM CITY CEMENT (FOR) 36,700 484,304
SIEMENS AG (REGD) 21,075 2,390,794
SINGAPORE TELECOM LTD (SING) 1,077,000 3,222,364
SK HYNIX INC 30,251 1,320,781
SKY NETWORK TELEVISION LTD 16,984 80,020
SKY PLC 174,780 2,448,985
SMURFIT KAPPA GROUP PLC (IREL) 64,955 1,469,798
SOCIETE GENERALE SA CL A 18,149 768,422
SOCO INTL PLC 25,865 122,310
SOHO CHINA LTD 1,193,113 843,140
SOMPO JAPAN NIPPONKOA HOLD INC 40,800 1,039,245
SSE PLC 2,530 63,960
ST GOBAIN CIE DE 77,241 3,292,789
STMICROELECTRONICS NV (ITAL) 14,100 105,697
STMICROELECTRONICS NV(SICOVAM) 264,725 1,986,049
SUBSEA 7 SA 86,888 892,429
SUMITOMO HEAVY INDUSTRIES LTD 197,000 1,073,977
SUMITOMO MITSUI FINL GROUP INC 63,100 2,304,746
SUMITOMO MITSUI FINL GROUP INC 58,100 2,122,120
SUNCOR ENERGY INC 13,500 429,030

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SVG CAPITAL PLC 31,496 217,075
SWIRE PACIFIC LTD CL A 4,500 58,610
SWIRE PROPERTIES LTD 82,600 243,923
SWISS LIFE HLDGS AG (NEW) 7,960 1,892,722
SWISS RE LTD 25,140 2,115,229
SWISSCOM AG (REG) 738 387,855
SYNGENTA AG (SWIT) 6,847 2,203,822
TAIWAN SEMIC MFG CO LTD SP ADR 24,860 556,367
TAIWAN SEMICONDUCT MFG CO LTD 435,000 1,937,853
TAKEDA PHARMACEUTICAL CO LTD 96,500 4,025,399
TAKUMA CO LTD 32,000 215,595
TECHNICOLOR REGR 57,000 319,965
TECHNIP SA 10,060 601,534
TELECOM ITALIA SPA 1,510,900 1,612,529
TELEFONICA SA 272,276 3,927,253
TELEFONICA SA 11,240 162,123
TELEPERFORMANCE 1,920 131,104
TELUS CORPORATION 16,800 607,636
TESCO PLC 1,118,974 3,296,222
TEVA PHARMACEUTICAL IND ADR 66,400 3,818,664
TIGER BRANDS LTD 39,974 1,271,884
TOFAS TURK OTOMOBIL FABRIKASI 284,119 1,941,144
TOKIO MARINE HOLDINGS INC 109,400 3,592,627
TOSHIBA CORP 117,000 500,508
TOSOH CORP 17,000 83,169
TOTAL SA (FRAN) 68,349 3,516,647
TOTAL SA (FRAN) 55,100 2,834,968
TOTVS SA 64,200 848,220
TOYO TIRE & RUBBER CO 18,300 370,645
TOYOTA MOTOR CORP 12,300 776,118
TOYOTA MOTOR CORP 22,100 1,394,488
TRAVELSKY TECHNOLOGY LTD H 1,058,000 1,143,319
TRAVIS PERKINS PLC 121,825 3,526,006
TUI AG NEW 34,945 561,537
TURK SISE VE CAM FABRIKALARI 1,203,133 1,875,909
UBISOFT ENTERTAINMENT SA 40,350 740,439
UBS GROUP AG 118,100 2,030,104
UNILEVER NV CVA (BEARER) 35,275 1,393,223
UNILEVER PLC ORD 107,961 4,422,083
UNI-PRESIDENT CHINA HLDGS LTD 209,000 192,434
UNITED OVERSEAS BANK (LOC) 180,082 3,334,776
UNY GROUP HOLDINGS CO LTD 111,000 568,066
USIMINAS PN (PFD REG) A SHRS 363,100 689,811

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VALLOUREC SA 98,708 2,717,297
VALOR CO LTD 11,600 208,118
VEDANTA RESOURCES PLC 24,390 218,392
VGI GL MEDIA PCL (FOR) WT 7/18 834,130 42,356
VGI GLOBAL MEDIA PCL(FOR) 4,319,421 1,549,780
VODAFONE GROUP PLC 533,044 1,878,661
VODAFONE GROUP PLC 112,281 394,908
VODAFONE GROUP PLC 991,963 3,497,991
VOLKSWAGEN AG 12,582 2,741,995
WENDEL 910 102,340
WEST FRASER TIMBER LTD 11,500 658,274
WESTPORTS HOLDINGS BHD 1,753,395 1,684,944
WHARF HOLDINGS LTD 7,000 50,550
WHEELOCK & CO LTD 116,000 541,507
WPP PLC NEW (UK) 74,801 1,568,066
XL GROUP PLC 40,425 1,389,407
YANGZIJIANG SHIPBLDG HLDGS LTD 668,000 607,662
YARA INTERNATIONAL ASA 45,900 2,055,739
YELLOW MEDIA LTD 5,500 92,692
YUE YUEN INDUSTRIAL HLDGS LTD 531,513 1,915,726
ZURICH INSURANCE GROUP AG 13,857 4,344,425
Russell International Value Account 502,353,328
Investments held by trustee 12,417,632,077
Participant Loans* Interest 4.25% – 9.44%, maturing through February 2030 103,400,059
Total Investments $ 12,521,032,136
  • Party-in-interest

** Information not presented because investments are participant directed

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