UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-Q

 

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS

OF REGISTERED MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number:    811-07215
Exact name of registrant as specified in charter:    Prudential Investment Portfolios, Inc. 17
Address of principal executive offices:    Gateway Center 3,
   100 Mulberry Street,
   Newark, New Jersey 07102
Name and address of agent for service:    Deborah A. Docs
   Gateway Center 3,
   100 Mulberry Street,
   Newark, New Jersey 07102
Registrant’s telephone number, including area code:    800-225-1852
Date of fiscal year end:    10/31/2014
Date of reporting period:    1/31/2014

 

 

 


Item 1. Schedule of Investments


Prudential Short Duration Multi-Sector Bond Fund

Schedule of Investments

as of January 31, 2014 (Unaudited)

 

Principal
Amount

(000)#

  

Description

  

Value

LONG-TERM INVESTMENTS — 109.1%

  

ASSET-BACKED SECURITIES — 4.4%

  

Collateralized Loan Obligations — 2.1%

  
250   

ARES CLO Ltd. (Cayman Islands),
Series 2012-2A, Class A, 144A
1.742%(a), 10/12/23

   $             249,797
250   

Carlyle Global Market Strategies CLO Ltd.,
Series 2013-1A, Class A1 (Cayman Islands), 144A
1.539%(a), 02/14/25

   247,177
     

 

     

496,974

     

 

Residential Mortgage-Backed Securities — 2.3%

  
318   

Bear Stearns Asset-Backed Securities I Trust,
Series 2004-HE6, Class M
0.728%(a), 08/25/34

   291,940
250   

HSBC Home Equity Loan Trust USA,
Series 2006-4, Class M2
0.437%(a), 03/20/36

   229,375
     

 

     

521,315

     

 

  

TOTAL ASSET-BACKED SECURITIES
(cost $1,019,974)

   1,018,289
     

 

BANK LOANS(a) — 4.3%

  

Cable — 2.1%

  
500   

Charter Communications Operating LLC, Term Loan
3.00%, 07/01/20

   497,563
     

 

Electric — 2.2%

  
500   

NRG Energy, Inc., Term Loan
2.75%, 07/01/18

   497,916
     

 

  

TOTAL BANK LOANS
(cost $997,500 )

   995,479
     

 

COMMERCIAL MORTGAGE-BACKED SECURITIES — 16.9%

  
175   

Banc of America Commercial Mortgage Trust,
Series 2006-3, Class A4
5.889%, 07/10/44

   190,296
52   

Series 2007-2, Class A1A
5.584%(a), 04/10/49

   56,266
210   

Series 2007-5, Class A1A
5.361%, 02/10/51

   232,512
200   

Banc of America Merrill Lynch Commercial Mortgage, Inc.,
Series 2005-6, Class AM
5.183%(a), 09/10/47

   214,707
250   

Citigroup Commercial Mortgage Trust,
Series 2012-GC8, Class A2
1.813%, 09/10/45

   251,870
250   

Series 2013-GC11, Class A2
1.987%, 04/10/46

   250,652
250   

Commercial Mortgage Trust,
Series 2013-CR10, Class A2
2.972%, 08/10/46

   258,963
250   

DBUBS Mortgage Trust,
Series 2011-LC3A, Class A2
3.642%, 08/10/44

   262,373


1,442   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K008, Class X1, IO
1.664%(a), 06/25/20

   115,652
3,227   

Series K018, Class X1, IO
1.455%(a), 01/25/22

   282,920
1,977   

Series K020, Class X1, IO
1.473%(a), 05/25/22

   186,323
20,000   

GS Mortgage Securities Corp. II,
Series 2014-GC18, Class XB, IO
0.063%, 01/10/47

   259,364
270   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2005-LDP4, Class AM
4.999%(a), 10/15/42

   285,664
130   

ML-CFC Commercial Mortgage Trust,
Series 2006-2, Class AM
5.882%(a), 06/12/46

   143,274
245   

Series 2006-3, Class A1A
5.409%(a), 07/12/46

   268,345
218   

Morgan Stanley Capital I Trust,
Series 2007-HQ11, Class A1A
5.422%(a), 02/12/44

   237,015
100   

Wachovia Bank Commercial Mortgage Trust,
Series 2005-C16, Class AJ
4.896%(a), 10/15/41

   102,879
20   

Series 2006-C26, Class APB
5.997%, 06/15/45

   21,155
243   

Series 2006-C28, Class A1A
5.559%, 10/15/48

   264,055
     

 

  

TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES
(cost $3,877,371)

   3,884,285
     

 

CORPORATE BONDS — 69.8%

  

Aerospace & Defense — 1.1%

  
125   

Bombardier, Inc. (Canada), Sr. Unsec’d. Notes, 144A
7.50%, 03/15/18

   139,375
25   

Textron, Inc., Sr. Unsec’d. Notes
3.65%, 03/01/21

   25,145
75   

TransDigm, Inc., Gtd. Notes
7.75%, 12/15/18

   80,250
     

 

     

244,770

     

 

Airlines — 0.9%

  
194   

American Airlines 2013-2 Class A Pass-Through Trust, Equipment Trust, 144A
4.95%, 01/15/23

   206,695
     

 

Automobiles — 1.9%

  
125   

American Axle & Manufacturing, Inc., Gtd. Notes
5.125%, 02/15/19

   128,437
200   

Ford Motor Credit Co. LLC, Sr. Unsec’d. Notes
2.375%, 01/16/18

   202,401
100   

Lear Corp., Gtd. Notes
7.875%, 03/15/18

   104,500
     

 

     

435,338

     

 

Banking — 12.6%

  
125   

American Express Co., Sr. Unsec’d. Notes
7.00%, 03/19/18

   150,452
50   

Bank of America Corp.,
Jr. Sub. Notes
8.125%(a), 12/29/49

   55,630
220   

Sr. Unsec’d. Notes
2.60%, 01/15/19

   221,254


125   

5.65%, 05/01/18

   142,430
100   

Sub. Notes
5.42%, 03/15/17

   110,104
125   

Barclays Bank PLC (United Kingdom), Sr. Unsec’d. Notes
6.75%, 05/22/19

   151,429
125   

Capital One Financial Corp., Sr. Unsec’d. Notes
6.75%, 09/15/17

   146,966
125   

Citigroup, Inc.,
Sr. Unsec’d. Notes
8.50%, 05/22/19

   160,863
85   

Sub. Notes
5.50%, 02/15/17

   94,492
100   

Discover Financial Services, Sr. Unsec’d. Notes
5.20%, 04/27/22

   106,348
125   

Fifth Third Bancorp, Sr. Unsec’d. Notes
3.625%, 01/25/16

   131,368
150   

Goldman Sachs Group, Inc. (The),
Sr. Unsec’d. Notes
5.95%, 01/18/18

   170,775
75   

Sub. Notes
5.625%, 01/15/17

   82,848
125   

HSBC Holdings PLC (United Kingdom), Sr. Unsec’d. Notes
5.10%, 04/05/21

   139,709
50   

JPMorgan Chase & Co.,
Jr. Sub. Notes
7.90%(a), 04/29/49

   55,310
50   

Sr. Unsec’d. Notes
3.875%, 02/01/24

   49,914
185   

6.00%, 01/15/18

   213,184
100   

KeyCorp, Sr. Unsec’d. Notes
5.10%, 03/24/21

   111,790
200   

Morgan Stanley,
Notes
6.625%, 04/01/18

   234,116
110   

Sr. Unsec’d. Notes
2.50%, 01/24/19

   109,710
125   

Royal Bank of Scotland PLC (The) (United Kingdom), Bank Gtd. Notes
4.375%, 03/16/16

   133,639
50   

Wells Fargo & Co.,
Jr. Sub. Notes
7.98%(a), 12/31/49

   56,375
75   

Sr. Unsec’d. Notes
3.00%, 01/22/21

   75,338
     

 

     

2,904,044

     

 

Brokerage —0.4%

  
50   

Nomura Holdings, Inc. (Japan), Sr. Unsec’d. Notes
2.00%, 09/13/16

   50,521
30   

4.125%, 01/19/16

   31,667
     

 

     

82,188

     

 

Building Materials & Construction —1.0%

  
100   

Building Materials Corp. of America, Sr. Notes, 144A
(original cost $106,000; purchased 01/23/14)
6.875%(b)(c), 08/15/18

   105,500


125   

Cemex Espana Luxembourg (Mexico), Sr. Sec’d. Notes, RegS
9.25%, 05/12/20

   135,188
     

 

      240,688
     

 

Cable — 1.5%

  
100   

Columbus International, Inc. (Barbados),
Sr. Sec’d. Notes, 144A (original cost $105,250; purchased 01/29/14)
11.50%(b)(c), 11/20/14

   104,725
125   

CSC Holdings LLC, Sr. Unsec’d. Notes
7.625%, 07/15/18

   142,813
100   

Virgin Media Finance PLC (United Kingdom), Gtd. Notes
8.375%, 10/15/19

   108,125
     

 

      355,663
     

 

Capital Goods — 3.2%

  
100   

Case New Holland, Inc., Gtd. Notes
7.875%, 12/01/17

   117,125
125   

Columbus Mckinnon Corp., Gtd. Notes
7.875%, 02/01/19

   135,000
125   

Griffon Corp., Gtd. Notes
7.125%, 04/01/18

   132,187
100   

Steelcase, Inc., Sr. Unsec’d. Notes
6.375%, 02/15/21

   114,329
125   

Terex Corp., Gtd. Notes
6.50%, 04/01/20

   134,062
100   

Xylem, Inc., Sr. Unsec’d. Notes
4.875%, 10/01/21

   107,658
     

 

      740,361
     

 

Chemicals — 3.7%

  
100   

Ashland, Inc., Sr. Unsec’d. Notes
3.875%, 04/15/18

   101,625
250   

Celanese US Holdings LLC, Gtd. Notes
6.625%, 10/15/18

   264,375
100   

Dow Chemical Co. (The), Sr. Unsec’d. Notes
4.125%, 11/15/21

   103,663
100   

Eastman Chemical Co., Sr. Unsec’d. Notes
2.40%, 06/01/17

   102,315
75   

Koppers, Inc., Gtd. Notes
7.875%, 12/01/19

   81,000
100   

Olin Corp., Sr. Unsec’d. Notes
8.875%, 08/15/19

   108,000
75   

Taminco Global Chemical Corp. (Belgium), Sec’d. Notes, 144A
9.75%, 03/31/20

   84,750
     

 

      845,728
     

 

Consumer — 2.7%

  
130   

ADT Corp. (The), Sr. Unsec’d. Notes
2.25%, 07/15/17

   128,086
100   

Newell Rubbermaid, Inc., Sr. Unsec’d. Notes
4.00%, 06/15/22

   101,554


75   

Scotts Miracle-Gro Co. (The), Gtd. Notes
6.625%, 12/15/20

   80,812
100   

Service Corp. International, Sr. Unsec’d. Notes
7.00%, 05/15/19

   106,500
100   

West Corp., Gtd. Notes
8.625%, 10/01/18

   107,875
100   

Whirlpool Corp., Sr. Unsec’d. Notes
4.70%, 06/01/22

   106,617
     

 

     

631,444

     

 

Electric — 0.6%

  
25   

Commonwealth Edison Co., First Mortgage
2.15%, 01/15/19

   25,144
100   

NRG Energy, Inc., Gtd. Notes
8.50%, 06/15/19

   106,250
     

 

     

131,394

     

 

Energy - Integrated — 1.2%

  
120   

Pacific Rubiales Energy Corp. (Columbia), Gtd. Notes, RegS
5.375%, 01/26/19

   120,600
150   

Total Capital International SA (France), Gtd. Notes
2.125%, 01/10/19

   151,817
     

 

     

272,417

     

 

Energy - Other — 2.1%

  
200   

Cameron International Corp., Sr. Unsec’d. Notes
3.60%, 04/30/22

   197,663
125   

CGG SA (France), Gtd. Notes
7.75%, 05/15/17

   128,437
100   

Nabors Industries, Inc., Gtd. Notes, 144A
2.35%, 09/15/16

   102,402
50   

Weatherford International LLC, Gtd. Notes
6.35%, 06/15/17

   56,287
     

 

     

484,789

     

 

Foods — 2.4%

  
100   

Bunge Ltd. Finance Corp., Gtd. Notes
3.20%, 06/15/17

   103,516
75   

Darling International, Inc., Gtd. Notes, 144A
5.375%, 01/15/22

   75,563
75   

Michael Foods Group, Inc., Gtd. Notes
9.75%, 07/15/18

   80,719
100   

Mondelez International, Inc., Sr. Unsec’d. Notes
2.25%, 02/01/19

   99,968
100   

Smithfield Foods, Inc., Sr. Unsec’d. Notes, 144A
5.25%, 08/01/18

   104,125


75   

Tops Holding Corp./Tops Markets LLC, Sr. Sec’d. Notes, 144A
(original cost $82,500; purchased 01/21/14)
8.875%(b)(c), 12/15/17

   81,937
     

 

     

545,828

     

 

Gaming — 0.8%

  
75   

GLP Capital LP/GLP Financing II, Inc., Gtd. Notes, 144A
4.875%, 11/01/20

   75,938
100   

Pinnacle Entertainment, Inc., Gtd. Notes
8.75%, 05/15/20

   109,500
     

 

     

185,438

     

 

Health Care & Pharmaceutical — 3.0%

  
100   

Actavis, Inc., Sr. Unsec’d. Notes
1.875%, 10/01/17

   99,770
250   

Amgen, Inc., Sr. Unsec’d. Notes
3.875%, 11/15/21

   260,430
100   

Express Scripts Holding Co., Gtd. Notes
2.65%, 02/15/17

   103,601
125   

Forest Laboratories, Inc., Sr. Unsec’d. Notes, 144A
4.375%, 02/01/19

   125,469
100   

Gilead Sciences, Inc., Sr. Unsec’d. Notes
4.40%, 12/01/21

   108,532
     

 

     

697,802

     

 

Health Care Insurance — 2.3%

  
119   

Aetna, Inc., Sr. Unsec’d. Notes
6.50%, 09/15/18

   141,567
100   

Cigna Corp., Sr. Unsec’d. Notes
4.50%, 03/15/21

   108,235
125   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes
6.00%, 02/15/18

   145,379
125   

WellPoint, Inc., Sr. Unsec’d. Notes
2.30%, 07/15/18

   125,755
     

 

     

520,936

     

 

Insurance — 1.6%

  
125   

American International Group, Inc., Sr. Unsec’d. Notes
8.25%, 08/15/18

   157,011
100   

Berkshire Hathaway Finance Corp., Gtd. Notes
0.39%(a), 01/10/17

   99,942
100   

XLIT Ltd. (Ireland), Gtd. Notes
2.30%, 12/15/18

   99,830
     

 

     

356,783

     

 

Lodging — 0.4%

  
100   

Marriott International, Inc., Sr. Unsec’d. Notes
3.25%, 09/15/22

   95,878
     

 

Media & Entertainment — 1.3%

  
250   

AMC Networks, Inc., Gtd. Notes
7.75%, 07/15/21

   280,625


25   

LIN Television Corp., Gtd. Notes
8.375%, 04/15/18

   26,313
     

 

     

306,938

     

 

Metals — 3.5%

  
300   

AK Steel Corp., Sr. Sec’d. Notes
8.75%, 12/01/18

   338,250
100   

ArcelorMittal (Luxembourg), Sr. Unsec’d. Notes
6.125%, 06/01/18

   108,750
350   

FMG Resources August 2006 Pty Ltd. (Australia), Gtd. Notes, 144A
6.875%, 02/01/18

   368,375
     

 

     

815,375

     

 

Non-Captive Finance — 2.0%

  
200   

CIT Group, Inc., Sr. Unsec’d. Notes
5.25%, 03/15/18

   213,000
25   

General Electric Capital Corp., Sr. Unsec’d. Notes
2.30%, 01/14/19

   25,249
200   

5.625%, 05/01/18

   230,933
     

 

     

469,182

     

 

Paper — 1.1%

  
100   

International Paper Co., Sr. Unsec’d. Notes
7.50%, 08/15/21

   125,623
100   

Weyerhaeuser Co., Sr. Unsec’d. Notes
7.375%, 10/01/19

   122,383
     

 

     

248,006

     

 

Pipelines & Other — 0.7%

  
50   

El Paso Pipeline Partners Operating Co. LLC, Gtd. Notes
6.50%, 04/01/20

   57,829
100   

Kinder Morgan Energy Partners LP, Sr. Unsec’d. Notes
2.65%, 02/01/19

   99,830
     

 

     

157,659

     

 

Railroads — 1.4%

  
100   

Burlington Northern Santa Fe LLC, Sr. Unsec’d. Notes
3.45%, 09/15/21

   101,525
100   

CSX Corp., Sr. Unsec’d. Notes
5.60%, 05/01/17

   112,472
100   

Union Pacific Corp., Sr. Unsec’d. Notes
4.00%, 02/01/21

   106,290
     

 

     

320,287

     

 

Real Estate Investment Trusts (REITs) — 3.4%

  
115   

Digital Realty Trust LP, Gtd. Notes
4.50%, 07/15/15

   119,587
100   

Felcor Lodging LP, Sr. Sec’d. Notes
10.00%, 10/01/14

   105,250
100   

HCP, Inc., Sr. Unsec’d. Notes
3.75%, 02/01/19

   105,525


100   

Kilroy Realty LP, Gtd. Notes
5.00%, 11/03/15

   106,360
100   

Kimco Realty Corp., Sr. Unsec’d. Notes
6.875%, 10/01/19

   119,976
100   

Sabra Health Care LP/Sabra Capital Corp., Gtd. Notes
5.375%, 06/01/23

   97,500
125   

Simon Property Group LP, Sr. Unsec’d. Notes
2.20%, 02/01/19

   124,960
     

 

     

779,158

     

 

Retailers — 1.8%

  
150   

Autozone, Inc., Sr. Unsec’d. Notes
1.30%, 01/13/17

   150,430
75   

Claire’s Stores, Inc., Sr. Sec’d. Notes, 144A
9.00%, 03/15/19

   78,563
100   

CVS Caremark Corp., Sr. Unsec’d. Notes
5.75%, 06/01/17

   113,894
75   

L Brands, Inc., Gtd. Notes
5.625%, 02/15/22

   76,125
     

 

     

419,012

     

 

Technology — 5.1%

  
125   

CDW LLC/CDW Finance Corp.,
Gtd. Notes
8.50%, 04/01/19

   137,187
125   

Sr. Sec’d. Notes
8.00%(a), 12/15/18

   135,625
250   

Commscope, Inc., Gtd. Notes, 144A
8.25%, 01/15/19

   271,562
250   

First Data Corp., Sr. Sec’d. Notes, 144A
8.875%, 08/15/20

   275,000
100   

Hewlett-Packard Co., Sr. Unsec’d. Notes
2.65%, 06/01/16

   103,171
25   

2.75%, 01/14/19

   25,177
100   

Maxim Integrated Products, Inc., Sr. Unsec’d. Notes
2.50%, 11/15/18

   100,733
125   

Sensata Technologies BV (Netherlands), Gtd. Notes, 144A
6.50%, 05/15/19

   134,375
     

 

     

1,182,830

     

 

Telecommunications — 3.7%

  
100   

America Movil SAB de CV (Mexico), Gtd. Notes
5.00%, 03/30/20

   108,831
200   

Bharti Airtel International Netherlands BV (India), Gtd. Notes, 144A
5.125%, 03/11/23

   185,250
150   

Frontier Communications Corp., Sr. Unsec’d. Notes
8.125%, 10/01/18

   170,625
50   

Qwest Corp., Sr. Unsec’d. Notes
6.75%, 12/01/21

   55,823


   100   

SBA Telecommunications, Inc., Gtd. Notes
8.25%, 08/15/19

   107,000
   200   

Verizon Communications, Inc., Sr. Unsec’d. Notes
4.60%, 04/01/21

   216,234
        

 

         843,763
        

 

Textiles — 0.5%

  
   100   

PVH Corp., Sr. Unsec’d. Notes
7.375%, 05/15/20

   109,000
        

 

Tobacco — 0.9%

  
   100   

Altria Group, Inc., Gtd. Notes
4.75%, 05/05/21

   109,171
   100   

Philip Morris International, Inc., Sr. Unsec’d. Notes
4.125%, 05/17/21

   105,658
        

 

         214,829
        

 

Transportation — 1.0%

  
   100   

ERAC USA Finance LLC, Gtd. Notes, 144A
2.80%(b)(c), 11/01/18
(original cost $101,859; purchased 01/07/14)

   102,155
   125   

Hertz Corp. (The), Gtd. Notes
7.50%, 10/15/18

   133,594
        

 

         235,749
        

 

     

TOTAL CORPORATE BONDS
(cost $16,068,850)

   16,079,972
        

 

FOREIGN GOVERNMENT BONDS — 10.0%

  
EUR    100   

Brazilian Government International Bond (Brazil), Unsec’d. Notes
11.00%, 06/26/17

   173,478
JPY    10,000   

Hellenic Republic Government International Bond (Greece), Sr. Unsec’d. Notes
5.25%(c), 02/01/16

   90,046
   100   

Indonesia Government International Bond (Indonesia), Sr. Unsec’d. Notes, RegS
11.625%, 03/04/19

   131,750
EUR    70   

Ireland Government Bond (Ireland), Bonds
4.40%, 06/18/19

   105,842
EUR    20   

Italy Buoni Poliennali del Tesoro (Italy), Bonds
3.50%, 12/01/18

   28,445
EUR    300   

Italy Certificati di Credito del Tesoro (Italy), Bonds
1.135%(e), 12/31/15

   396,653
JPY    10,000   

Italy Government International Bond (Italy),
Sr. Unsec’d. Notes, RegS
3.70%, 11/14/16

   101,766
JPY    5,000   

4.50%, 06/08/15

   50,764
EUR    20   

Sr. Unsec’d. Notes, MTN, RegS
5.75%, 07/25/16

   29,654
EUR    75   

Portugal Obrigacoes do Tesouro OT (Portugal), Sr. Unsec’d. Notes, RegS
4.75%, 06/14/19

   104,509
EUR    200   

6.40%, 02/15/16

   290,261
   30   

Romanian Government International Bond (Romania), Sr. Unsec’d. Notes, 144A
4.875%, 01/22/24

   29,400


EUR    100   

South Africa Government International Bond (South Africa), Unsec’d. Notes
4.50%, 04/05/16

   141,655
EUR    80   

Spain Government International Bond (Spain),
Sr. Unsec’d. Notes
3.75%, 10/31/18

   115,316
   500   

Sr. Unsec’d. Notes, MTN, 144A

4.00%, 03/06/18

   523,860
        

 

     

TOTAL FOREIGN GOVERNMENT BONDS
(cost $2,332,330)

   2,313,399
        

 

NON-CORPORATE FOREIGN AGENCIES — 3.1%

  
   200   

CNOOC Finance 2013 Ltd. (China), Gtd. Notes
3.00%, 05/09/23

   177,534
   100   

Ecopetrol SA (Columbia), Sr. Unsec’d. Notes
7.625%, 07/23/19

   117,000
   50   

Electricite de France (France), Sr. Unsec’d. Notes, 144A
2.15%, 01/22/19

   49,737
EUR    22   

Instituto de Credito Oficial (Spain), Gov’t. Gtd. Notes, MTN, RegS
4.375%, 03/31/14

   29,828
   100   

KazMunayGas National Co. JSC (Kazakhstan), Sr. Unsec’d. Notes, MTN, 144A
9.125%, 07/02/18

   119,250
   100   

Majapahit Holding BV (Indonesia), Gtd. Notes, RegS
7.25%, 06/28/17

   109,250
   100   

Petroleos Mexicanos (Mexico), Gtd. Notes
5.50%, 01/21/21

   106,500
        

 

     

TOTAL NON-CORPORATE FOREIGN AGENCIES
(cost $714,610)

   709,099
        

 

U.S. TREASURY OBLIGATION — 0.6%

  
   125   

U.S. Treasury Bonds,
3.75%, 11/15/43(d) (cost $126,357)

   127,910
        

 

     

TOTAL LONG-TERM INVESTMENTS
(cost $25,136,992)

   25,128,433
        

 

SHORT-TERM INVESTMENT — 4.8%

  

Shares

         

AFFILIATED MONEY MARKET MUTUAL FUND

  
   1,108,770   

Prudential Investment Portfolios 2 — Prudential Core Taxable Money Market Fund
(cost $1,108,770)(f)

   1,108,770
     

TOTAL INVESTMENTS — 113.9%
(cost $26,245,762)(g)

   26,237,203
     

LIABILITIES IN EXCESS OF OTHER ASSETS(h) — (13.9)%

   (3,201,833)
        

 

     

NET ASSETS — 100%

   $    23,035,370
        

 

 

The following abbreviations were used in the Portfolio descriptions:

 

144A    Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers. Unless otherwise noted, 144A securities are deemed to be liquid.
RegS    Regulation S. Security was purchased pursuant to Regulation S and may not be offered, sold or delivered within the United States or to, or for the account or benefit of, U.S. persons, except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
CLO    Collateralized Loan Obligation
FHLMC    Federal Home Loan Mortgage Corp.
IO    Interest Only
MTN    Medium Term Note
REIT    Real Estate Investment Trust


AUD    Australian Dollar
CAD    Canadian Dollar
CHF    Swiss Franc
CSK    Czech Kruna
EUR    Euro
GBP    British Pound
HUF    Hungarian Forint
ILS    Israel New Shekel
JPY    Japanese Yen
MYR    Malaysian Ringgit
MXN    Mexican Peso
NOK    Norwegian Krone
NZD    New Zealand Dollar
PLN    Polish Zloty
RON    Romanian Leu
RUB    Russian Ruble
SEK    Swedish Krona
SGD    Singapore Dollar
THB    Thai Baht
TRY    New Turkish Lira
TWD    New Taiwanese Dollar
ZAR    South African Rand
# Principal amount is shown in U.S. dollars unless otherwise stated.
(a) Variable rate instrument. The interest rate shown reflects the rate in effect at January 31, 2014.
(b) Indicates a restricted security; the aggregate original cost of the restricted securities is $395,609. The aggregate value of $394,317 is approximately 1.7% of net assets.
(c) Indicates a security or securities that have been deemed illiquid.
(d) Represents security, or a portion thereof, segregated as collateral for futures contracts.
(e) Represents zero coupon bond or principal only securities. Rate represents yield to maturity at purchase date.
(f) Prudential Investment LLC, the manager of the Fund, also serves as manager of the Prudential Investment Portfolios 2 — Prudential Core Taxable Money Market Fund.
(g) The United States federal income tax basis of investments and net unrealized depreciation were as follows:

 

Tax Basis

   $ 26,245,762   
  

 

 

 

Appreciation

     62,771   

Depreciation

     (71,330
  

 

 

 

Net Unrealized Depreciation

   $ (8,559
  

 

 

 

The cost of securities for federal income tax purposes is substantially the same as for financial reporting purposes at January 31, 2014.

(h) Includes net unrealized appreciation (depreciation) on the following derivative contracts held at reporting period end:

Futures contracts open at January 31, 2014:

 

Number of

Contracts

  

Type

  

Expiration
Date

   Value at
Trade Date
     Value at
January 31, 2014
     Unrealized
Depreciation(1)(2)
 
   Long Position:            
1   

10 Year U.S. Treasury Notes

   Mar. 2014    $ 125,797       $ 125,750       $ (47
              

 

 

 
   Short Positions:            
1    2 Year U.S.Treasury Notes    Mar. 2014      219,844         220,203         (359
23    5 Year U.S.Treasury Notes    Mar. 2014      2,758,711         2,774,375         (15,664
8    U.S. Long Bond    Mar. 2014      1,067,500         1,068,750         (1,250
1    U.S. Ultra Bond    Mar. 2014      142,469         143,813         (1,344
              

 

 

 
                 (18,617
              

 

 

 
               $ (18,664
              

 

 

 

 

(1) Cash of $95,000 and U.S. Treasury Securities with a market value of $127,910 have been segregated to cover requirements for open futures contracts at January 31, 2014.


(2) The amount represents fair value of derivative instruments subject to interest rate contracts risk exposure as of January 31, 2014.

Forward foreign currency exchange contracts outstanding at January 31, 2014:

 

Purchase Contracts

  

Counterparty

   Notional
Amount
(000)
     Value at
Settlement Date
Payable
     Current
Value
     Unrealized
Appreciation
(Depreciation)(1)
 

Australian Dollar,
Expiring 04/15/14

   Citigroup Global Markets      AUD         14       $ 12,500       $ 12,474       $ (26

Expiring 04/15/14

   Credit Suisse First Boston Corp.      AUD         43         37,600         37,455         (145

British Pound,
Expiring 04/24/14

   Credit Suisse First Boston Corp.      GBP         23         37,597         37,268         (329

Expiring 04/28/14

   Citigroup Global Markets      GBP         76         126,098         124,658         (1,440

Canadian Dollar,
Expiring 04/25/14

   Barclays Capital Group      CAD         28         25,000         24,945         (55

Czech Koruna,
Expiring 04/24/14

   Barclays Capital Group      CSK         502         25,000         24,586         (414

Expiring 04/24/14

   Citigroup Global Markets      CSK         1,262         62,316         61,860         (456

Euro,
Expiring 04/28/14

   Citigroup Global Markets      EUR         83         111,746         111,309         (437

Hungarian Forint,
Expiring 04/24/14

   Citigroup Global Markets      HUF         13,407         59,951         57,568         (2,383

Israel Shekel,
Expiring 04/30/14

   Barclays Capital Group      ILS         175         50,100         49,851         (249

Expiring 04/30/14

   Barclays Capital Group      ILS         87         25,000         24,798         (202

Japanese Yen,
Expiring 04/25/14

   Barclays Capital Group      JPY         5,126         50,100         50,192         92   

Expiring 04/28/14

   Barclays Capital Group      JPY         2,557         24,966         25,040         74   

Expiring 04/28/14

   Citigroup Global Markets      JPY         13,043         125,126         127,724         2,598   

Malaysian Ringgit,
Expiring 04/10/14

   Citigroup Global Markets      MYR         82         25,000         24,487         (513

Mexican Peso,
Expiring 04/25/14

   Barclays Capital Group      MXN         1,624         121,204         120,605         (599

Expiring 04/25/14

   Barclays Capital Group      MXN         504         37,600         37,413         (187

New Zealand Dollar,
Expiring 04/15/14

   Barclays Capital Group      NZD         153         126,037         122,665         (3,372

Expiring 04/15/14

   Barclays Capital Group      NZD         61         50,100         49,063         (1,037

Norwegian Krone,
Expiring 04/24/14

   JPMorgan Chase      NOK         454         73,406         72,059         (1,347

Polish Zloty,
Expiring 04/24/14

   Citigroup Global Markets      PLN         380         122,799         119,788         (3,011

Romanian Leu,
Expiring 04/24/14

   Citigroup Global Markets      RON         125         37,600         36,959         (641

Singapore Dollar,
Expiring 04/17/14

   Citigroup Global Markets      SGD         32         25,000         24,952         (48

Expiring 04/17/14

   Citigroup Global Markets      SGD         32         24,844         24,784         (60

South African Rand,
Expiring 04/25/14

   Deutsche Bank AG      ZAR         280         25,000         24,853         (147

Swedish Krona,
Expiring 04/24/14

   Credit Suisse First Boston Corp.      SEK         1,544         237,872         235,307         (2,565

Swiss Franc,
Expiring 04/24/14

   Citigroup Global Markets      CHF         235         263,200         259,642         (3,558


Turkish New Lira,
Expiring 04/30/14

   Barclays Capital Group      TRY         117         50,100         50,253         153   

Expiring 04/30/14

   Citigroup Global Markets      TRY         148         62,600         63,966         1,366   

Expiring 04/30/14

   Citigroup Global Markets      TRY         52         22,500         22,524         24   
           

 

 

    

 

 

    

 

 

 
            $ 2,077,962       $ 2,059,048       $ (18,914
           

 

 

    

 

 

    

 

 

 

 

Sale Contracts

  

Counterparty

   Notional
Amount
(000)
     Value at
Settlement Date

Receivable
     Current
Value
     Unrealized
Appreciation
(Depreciation)(1)
 

Australian Dollar,
Expiring 04/15/14

   Barclays Capital Group Credit Suisse First      AUD         73       $ 62,700       $ 63,142       $ (442

Expiring 04/15/14

   Boston Corp.      AUD         29         25,000         24,996         4   

British Pound,
Expiring 04/25/14

   Deutsche Bank AG      GBP         30         50,100         49,890         210   

Canadian Dollar,
Expiring 04/25/14

   Citigroup Global Markets      CAD         215         196,410         192,695         3,715   

Czech Koruna,
Expiring 04/24/14

   Barclays Capital Group      CSK         1,787         87,700         87,569         131   

Euro,
Expiring 04/28/14

   Barclays Capital Group      EUR         588         803,408         793,611         9,797   

Expiring 04/28/14

   Barclays Capital Group      EUR         19         24,966         24,970         (4

Expiring 04/28/14

   Citigroup Global Markets      EUR         178         242,667         239,642         3,025   

Expiring 04/28/14

   Citigroup Global Markets      EUR         175         237,451         236,384         1,067   

Expiring 04/28/14

   Citigroup Global Markets      EUR         111         151,313         149,239         2,074   

Hungarian Forint,
Expiring 04/24/14

   Barclays Capital Group      HUF         6,765         30,100         29,049         1,051   

Expiring 04/24/14

   Citigroup Global Markets      HUF         2,841         12,500         12,198         302   

Expiring 04/24/14

   Deutsche Bank AG      HUF         4,078         17,500         17,509         (9

Japanese Yen,
Expiring 04/28/14

   Barclays Capital Group      JPY         54,102         522,758         529,776         (7,018

Expiring 04/28/14

   Credit Suisse First Boston Corp.      JPY         10,782         103,333         105,580         (2,247

Expiring 04/28/14

   Credit Suisse First Boston Corp.      JPY         5,386         52,662         52,744         (82

Malaysian Ringgit,
Expiring 04/10/14

   Citigroup Global Markets      MYR         84         25,000         24,934         66   

Mexican Peso,
Expiring 04/25/14

   Barclays Capital Group      MXN         839         62,600         62,290         310   

Expiring 04/25/14

   Citigroup Global Markets      MXN         441         32,600         32,778         (178

New Taiwanese Dollar,
Expiring 03/04/14

   Citigroup Global Markets      TWD         756         25,000         24,992         8   

Expiring 03/18/14

   Barclays Capital Group      TWD         1,130         37,500         37,364         136   

New Zealand Dollar,
Expiring 04/15/14

   Barclays Capital Group      NZD         31         25,000         24,981         19   

Norwegian Krone,
Expiring 04/24/14

   Credit Suisse First Boston Corp.      NOK         233         37,597         36,962         635   

Expiring 04/24/14

   Deutsche Bank AG      NOK         603         97,800         95,712         2,088   

Expiring 04/24/14

   Deutsche Bank AG      NOK         237         37,600         37,638         (38

Expiring 04/24/14

   Deutsche Bank AG      NOK         235         37,600         37,399         201   

Polish Zloty,
Expiring 04/24/14

   Barclays Capital Group      PLN         159         50,100         50,129         (29

Russian Ruble,
Expiring 04/17/14

   Citigroup Global Markets      RUB         881         25,000         24,675         325   


Expiring 04/17/14

   Citigroup Global Markets      RUB         865         25,000         24,219         781   

Expiring 04/17/14

   Citigroup Global Markets      RUB         433         12,500         12,127         373   

Singapore Dollar,
Expiring 04/17/14

   Citigroup Global Markets      SGD         64         49,723         49,791         (68

South African Rand,
Expiring 04/25/14

   Citigroup Global Markets      ZAR         278         24,613         24,726         (113

Swedish Krona,
Expiring 04/24/14

   Credit Suisse First Boston Corp.      SEK         328         50,100         50,059         41   

Swiss Franc,
Expiring 04/24/14

   Barclays Capital Group      CHF         22         25,000         24,787         213   

Expiring 04/24/14

   Citigroup Global Markets      CHF         43         47,600         47,038         562   

Expiring 04/24/14

   Credit Suisse First Boston Corp.      CHF         192         211,393         212,046         (653

Thailand Baht,
Expiring 11/18/14

   Credit Suisse First Boston Corp.      THB         852         25,100         25,454         (354

Turkish New Lira,
Expiring 04/30/14

   Barclays Capital Group      TRY         319         134,573         137,425         (2,852
           

 

 

    

 

 

    

 

 

 
              $3,719,567       $ 3,706,520       $ 13,047   
           

 

 

    

 

 

    

 

 

 

 

(1) The amount represents fair value of derivative instruments subject to foreign exchange contracts risk exposure as of January 31, 2014.

Interest rate swap agreement outstanding at January 31, 2014:

 

Notional Amount
(000)#

     Termination Date      Fixed Rate    

Floating Rate

  

Value

at Trade

    

Value

at Jan. 31,

    Unrealized  

Exchange-traded swap agreement:

   Date      2014     Depreciation(2)  
EUR      400         01/30/16         0.495   3 month LIBOR(1)    $ —         $ (379   $ (379
             

 

 

    

 

 

   

 

 

 

 

(1) Portfolio pays the fixed rate and receives the floating rate.
(2) The amount represents fair value of derivative instruments subject to credit contracts risk exposure as of January 31, 2014.
# Notional amount is shown in U.S. dollars unless otherwise stated.


Various inputs are used in determining the value of the Portfolio’s investments. These inputs are summarized in the three broad levels listed below.

Level 1 - quoted prices generally in active markets for identical securities.

Level 2 - other significant observable inputs including, but not limited to, quoted prices for similar securities, interest rates and yield curves, prepayment speeds, foreign currency exchange rates, and amortized cost.

Level 3 - significant unobservable inputs for securities valued in accordance with Board approved fair valuation procedures.

The following is a summary of the inputs used as of January 31, 2014 in valuing such portfolio securities:

 

     Level 1     Level 2     Level 3  

Investments in Securities

      

Asset-Backed Securities

      

Collateralized Loan Obligations

   $ —        $ 496,974      $ —     

Residential Mortgage-Backed Securities

     —          521,315        —     

Bank Loans

     —          995,479        —     

Commercial Mortgage-Backed Securities

     —          3,624,921        259,364   

Corporate Bonds

     —          15,873,277        206,695   

Foreign Government Bonds

     —          2,223,353        90,046   

Non-Corporate Foreign Agencies

     —          709,099        —     

U.S. Treasury Obligation

     —          127,910        —     

Affiliated Money Market Mutual Fund

     1,108,770        —          —     

Other Financial Instruments*

      

Futures

     (18,664     —          —     

Forward foreign currency exchange contracts

     —          (5,867     —     

Interest rate swap agreement

     —          (379     —     
  

 

 

   

 

 

   

 

 

 

Total

   $ 1,090,106      $ 24,566,082      $ 556,105   
  

 

 

   

 

 

   

 

 

 

The following is a reconciliation of assets in which significant unobservable inputs (Level 3) were used in determining fair value:

 

    Commercial Mortgage-
Backed Security
    Corporate Bond     Foreign Government
Bond
 

Beginning Balance:

  $ —        $ —        $ —     

Accrued discounts/premiums

    —          (41     105   

Realized gain (loss)

    —          —          —     

Change in unrealized appreciation (depreciation)**

    —          283        (1,758

Purchases

    259,364        206,453        91,699   

Sales

    —          —          —     

Transfers into Level 3

    —          —          —     

Transfers out of Level 3

    —          —          —     
 

 

 

   

 

 

   

 

 

 

Ending Balance

  $ 259,364      $ 206,695      $ 90,046   
 

 

 

   

 

 

   

 

 

 

 

* Other financial instruments are derivative instruments not reflected in the Portfolio of Investments, such as futures, forwards and swap contracts, which are recorded at the unrealized appreciation/depreciation on the instrument.

 

** Of which, $1,475 was included in Net Assets relating to securities held at the reporting period end.

Level 3 securities as presented in the table above are being fair valued using pricing methodologies approved by the Valuation Committee, which contain unobservable inputs. Such methodologies include, but are not limited to, using prices provided by a single broker/dealer, the cost of the investment, and broker quotes adjusted for changes in yields of compariable U.S. Government and other securities using fixed income securities valuation model.


Prudential Total Return Bond Fund

Schedule of Investments

as of January 31, 2014 (Unaudited)

 

     Interest
Rate
    Maturity Date     Principal
Amount (000)#
     Value  

LONG-TERM INVESTMENTS — 98.6%

         

ASSET-BACKED SECURITIES — 17.0%

         

Collateralized Debt Obligations — 0.1%

         

Cent CDO XI Ltd. (Cayman Islands),
Series 2006-11A, Class A1, 144A

     0.499 %(a)      04/25/19              2,139       $       2,111,842   

Eaton Vance CDO IX Ltd. (Cayman Islands),
Series 2007-9A, Class A1A, 144A

     0.447 %(a)      04/20/19 (b)      124         123,170   
         

 

 

 
            2,235,012   
         

 

 

 

Collateralized Loan Obligations — 9.2%

         

ACAS CLO Ltd. (Cayman Islands), Series 2013-1A, Class A, 144A

     1.417 %(a)      04/20/25        14,300         14,063,079   

ACAS CLO Ltd. (Cayman Islands), Series 2013-1A, Class B2, 144A

     3.360     04/20/25        1,550         1,520,238   

Anchorage Capital CLO Ltd. (Cayman Islands),
Series 2013-1A, Class A1, 144A

     1.432 %(a)      07/13/25        6,100         5,997,795   

Ares Enhanced Loan Investment Strategy II Ltd. (Cayman Islands),
Series 2005-2A, Class A2, 144A

     0.499 %(a)      01/26/20        1,808         1,787,721   

Ares XVI CLO Ltd. (Cayman Islands),
Series 2011-16A, Class AR, 144A

     1.219 %(a)      05/17/21        15,524         15,428,034   

Avoca CLO II BV (Netherlands), Series II-A, Class A1, 144A

     0.729 %(a)      01/15/20      EUR 1,670         2,240,461   

Babson CLO Ltd. (Cayman Islands), Series 2013-IA, Class A, 144A

     1.337 %(a)      04/20/25        8,400         8,194,615   

Benefit Street Partners CLO II Ltd. (Cayman Islands),
Series 2013-IIA, Class A1, 144A

     1.439 %(a)      07/15/24        16,300         15,958,781   

Black Diamond CLO Delaware Corp. (Cayman Islands),
Series 2005-1A, Class A1, 144A

     0.515 %(a)      06/20/17        733         731,007   

Blue Hill CLO Ltd. (Cayman Islands), Series 2013-1A, Class A, 144A

     1.767 %(a)      01/15/26        4,300         4,283,304   

BMI CLO I (Cayman Islands), Series 2013-1AR, Class A1R, 144A

     1.177 %(a)      08/01/21        13,473         13,375,939   

Brookside Mill CLO Ltd. (Cayman Islands),
Series 2013-1A, Class A1, 144A

     1.388 %(a)      04/17/25        15,600         15,250,872   

Cavalry CLO II (Cayman Islands), Series 2A, Class A, 144A

     1.588 %(a)      01/17/24        10,000         9,907,834   

Eagle Creek CLO Ltd. (Cayman Islands),
Series 2006-1A, Class A1, 144A

     0.478 %(a)      02/28/18        376         374,644   

Four Corners CLO III Ltd. (Cayman Islands),
Series 2006-3A, Class A, 144A

     0.487 %(a)      07/22/20        1,230         1,214,535   

Fraser Sullivan CLO I Ltd. (Cayman Islands),
Series 2006-1A, Class B, 144A

     0.713 %(a)      03/15/20        3,000         2,931,098   

Grosvenor Place CLO I BV (Netherlands),
Series I-X, Class A1, RegS

     0.550 %(a)      07/20/21      EUR 1,172         1,571,931   

Gulf Stream - Sextant CLO Ltd. (Cayman Islands),
Series 2006-1A, Class A1A, 144A

     0.469 %(a)      08/21/20        685         683,814   

ING Investment Management CLO Ltd. (Cayman Islands),
Series 2013-1A, Class A1, 144A

     1.379 %(a)      04/15/24        10,050         9,865,309   

ING Investment Management CLO Ltd.,
Series 2013-2A, Class A1, 144A

     1.389 %(a)      04/25/25        4,300         4,222,123   

Lafayette CLO Ltd. (Cayman Islands),
Series 2012-1A, Class A, 144A

     1.642 %(a)      09/06/22        1,112         1,111,360   

LCM III LP (Cayman Islands), Series 3A, Class A, 144A

     0.499 %(a)      06/01/17        449         448,822   

LightPoint CLO III Ltd., Series 2005-3A, Class A1A, 144A

     0.503 %(a)      09/15/17        2,046         2,029,322   

LightPoint Pan-European CLO PLC (Ireland),
Series 2006-1A, Class A, 144A

     0.478 %(a)      01/31/22      EUR 3,430         4,551,045   


                            

Magnetite VI Ltd. (Cayman Islands), Series 2012-6A, Class A, 144A

     1.743 %(a)      09/15/23         11,500         11,473,680   

Marine Park CLO Ltd. (Cayman Islands), Series 2012-1A, Class A1A, 144A

     1.709 %(a)      05/18/23         5,000         4,982,143   

Mayport CLO Ltd. (Cayman Islands), Series 2006-1A, Class A1L, 144A

     0.488 %(a)      02/22/20         927         921,169   

Mountain Capital CLO IV Ltd. (Cayman Islands),
Series 2005-4A, Class A1L, 144A

     0.493 %(a)      03/15/18         144         143,871   

North Westerly CLO BV, Series II-A, Class A, 144A

     0.721 %(a)      09/14/19       EUR 1,717         2,304,114   

Ocean Trails CLO IV (Cayman Islands), Series 2013-4A, Class A, 144A

     1.671 %(a)      08/13/25         13,500         13,337,394   

OCP CLO Ltd. (Cayman Islands), Series 2012-2A, Class A2, 144A

     1.718 %(a)      11/22/23         11,150         11,122,057   

OCP CLO Ltd. (Cayman Islands), Series 2012-2A, Class B, 144A

     2.438 %(a)      11/22/23         4,900         4,811,443   

Octagon Investment Partners XVI Ltd. (Cayman Islands),
Series 2013-1A, Class A, 144A

     1.358 %(a)      07/17/25         13,160         12,838,327   

OHA Intrepid Leveraged Loan Fund Ltd. (Cayman Islands),
Series 2011-1AR, Class AR, 144A

     1.157 %(a)      04/20/21         10,031         9,959,862   

OZLM Funding IV Ltd. (Cayman Islands), Series 2013-4A, Class A1, 144A

     1.387 %(a)      07/22/25         2,800         2,747,858   

Shackleton CLO Ltd. (Cayman Islands), Series 2013-3A, Class B2, 144A

     3.440     04/15/25         4,900         4,828,578   

Sheridan Square CLO Ltd. (Cayman Islands),
Series 2013-1A, Class A1, 144A

     1.289 %(a)      04/15/25         17,850         17,452,961   

Slater Mill Loan Fund LP (Cayman Islands), Series 2012-1A, Class B, 144A

     2.889 %(a)      08/17/22         2,000         1,980,143   

Sound Point CLO Ltd. (Cayman Islands), Series 2012-1A, Class B, 144A

     2.937 %(a)      10/20/23         4,350         4,376,605   

Tyron Park CLO Ltd. (Cayman Islands), Series 2013-1A, Class A1, 144A

     1.359 %(a)      07/15/25           16,350         16,023,991   
          

 

 

 
             257,047,879   
          

 

 

 

Non-Residential Mortgage-Backed Securities — 0.6%

          

Banc of America Funding Trust, Series 2005-D, Class A1

     2.632 %(a)      05/25/35         239         245,886   

Banc of America Mortgage Trust, Series 2004-2, Class 5A1

     6.500     10/25/31         6         6,516   

Banc of America Mortgage Trust, Series 2004-E, Class 2A6

     2.834 %(a)      06/25/34         1,306         1,309,370   

Bear Stearns ALT-A Trust, Series 2005-4, Class 23A1

     2.700 %(a)      05/25/35         391         375,446   

Bear Stearns ALT-A Trust, Series 2005-4, Class 23A2

     2.700 %(a)      05/25/35         130         131,605   

Bear Stearns ARM Trust, Series 2002-11, Class 1A1

     2.363 %(a)      02/25/33         9         8,803   

CHL Mortgage Pass-Through Trust, Series 2005-HYB9, Class 3A2A

     2.417 %(a)      02/20/36         95         90,016   

GE Business Loan Trust, Series 2006-1A, Class D, 144A

     1.160 %(a)      05/15/34         78         55,796   

GE Capital Credit Card Master Note Trust, Series 2012-4, Class B

     1.010 %(a)      06/15/18         7,792         7,767,563   

IndyMac ARM Trust, Series 2001-H2, Class A1

     1.717 %(a)      01/25/32         1         1,446   

Marriott Vacation Club Owner Trust, Series 2010-1A, Class A, 144A

     3.540     10/20/32         1,368         1,413,436   

MASTR Alternative Loan Trust, Series 2004-4, Class 4A1

     5.000     04/25/19         122         125,058   

MASTR Asset Securitization Trust, Series 2003-7, Class 1A2

     5.500     09/25/33         80         83,115   

Prime Mortgage Trust, Series 2004-CL1, Class 1A2

     0.558 %(a)      02/25/34         44         41,281   

Prime Mortgage Trust, Series 2004-CL1, Class 2A2

     0.558 %(a)      02/25/19         1         965   

Regal Trust IV, Series 1999-1, Class A, 144A

     2.457 %(a)      09/29/31         214         198,993   

RFMSI Trust, Series 2003-S9, Class A1

     6.500     03/25/32         15         15,771   

 


                            

Small Business Administration Participation Certificates,
Series 2001-20A, Class 1

     6.290     01/01/21         108         116,851   

Small Business Administration Participation Certificates,
Series 2003-20I, Class 1

     5.130     09/01/23         67         71,838   

Structured Adjustable Rate Mortgage Loan Trust,
Series 2004-1, Class 4A3

     2.463 %(a)      02/25/34         450         457,526   

Structured Asset Mortgage Investments Trust,
Series 2002-AR3, Class A1

     0.817 %(a)      09/19/32         46         44,545   

SVO VOI Mortgage LLC, Series 2012-AA, Class A, 144A

     2.000     09/20/29         3,107         3,108,110   

Washington Mutual MSC Mortgage Pass-Through Certificates,
Series 2003-AR1, Class 2A

     2.062 %(a)      02/25/33         2         1,680   

Wells Fargo Mortgage-Backed Securities Trust,
Series 2005-AR4, Class 2A2

     2.671 %(a)      04/25/35         1,030         1,048,780   

Wells Fargo Mortgage-Backed Securities Trust,
Series 2006-AR2, Class 2A1

     2.628 %(a)      03/25/36         324         328,102   

Wells Fargo Mortgage-Backed Securities Trust,
Series 2007-5, Class 1A1

     5.500     05/25/37         507         533,068   
          

 

 

 
             17,581,566   
          

 

 

 

Residential Mortgage-Backed Securities — 7.1%

          

ABFC Trust, Series 2003-WMC1, Class M1

     1.133 %(a)      06/25/33         330         316,697   

ABFC Trust, Series 2004-OPT1, Class M1

     1.208 %(a)      08/25/33         591         556,113   

ABFC Trust, Series 2004-OPT5, Class A4

     1.408 %(a)      06/25/34         2,813         2,676,845   

ABFC Trust, Series 2005-AQ1, Class A4

     5.010     06/25/35         2,951         2,986,423   

ABFC Trust, Series 2005-HE2, Class M2

     0.908 %(a)      06/25/35         2,420         2,351,889   

Accredited Mortgage Loan Trust, Series 2004-4, Class A2D

     0.508 %(a)      01/25/35         457         443,237   

ACE Securities Corp. Home Equity Loan Trust,
Series 2003-HE1, Class M1

     1.133 %(a)      11/25/33         1,185         1,099,744   

ACE Securities Corp. Home Equity Loan Trust,
Series 2003-OP1, Class M1

     1.208 %(a)      12/25/33         1,514         1,423,427   

ACE Securities Corp. Home Equity Loan Trust,
Series 2004-FM1, Class M1

     1.058 %(a)      09/25/33         377         351,509   

ACE Securities Corp. Home Equity Loan Trust,
Series 2004-OP1, Class M1

     0.938 %(a)      04/25/34         8,569         7,998,425   

Aegis Asset-Backed Securities Trust, Series 2005-3, Class M1

     0.628 %(a)      08/25/35         1,282         1,264,189   

Aegis Asset-Backed Securities Trust Mortgage Pass-Through Certificates, Series 2004-1, Class M1

     1.178 %(a)      04/25/34         1,532         1,363,071   

Aegis Asset-Backed Securities Trust Mortgage Pass-Through Certificates, Series 2004-2, Class A3

     1.118 %(a)      06/25/34         529         523,134   

Alternative Loan Trust, Series 2004-18CB, Class 3A1

     5.250     09/25/19         147         150,129   

American Home Mortgage Investment Trust, Series 2004-4, Class 4A

     2.349 %(a)      02/25/45         149         149,696   

Ameriquest Mortgage Securities, Inc. Asset-Backed,
Series 2003-10, Class AV2

     0.858 %(a)      11/25/33         196         171,995   

Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates, Series 2003-1, Class M1

     1.508 %(a)      02/25/33         869         820,439   

Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates, Series 2003-5, Class A6

     4.499     04/25/33         429         427,417   

Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates, Series 2004-R8, Class M1

     1.118 %(a)      09/25/34         3,850         3,788,319   

Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates, Series 2005-R11, Class A2D

     0.488 %(a)      01/25/36         285         279,397   

Amortizing Residential Collateral Trust, Series 2002-BC8, Class A3

     1.158 %(a)      11/25/32         552         532,580   

Argent Securities, Inc., Series 2003-W2, Class M4

     5.783 %(a)      09/25/33         600         559,708   

Argent Securities, Inc., Series 2003-W7, Class M1

     1.193 %(a)      03/25/34         974         921,751   


                            

Argent Securities, Inc., Series 2003-W10, Class M1

     1.238 %(a)      01/25/34         1,854         1,784,976   

Argent Securities, Inc., Series 2003-W10, Class M2

     2.633 %(a)      01/25/34         281         227,930   

Argent Securities, Inc. Asset-Backed Pass-Through Certificates,
Series 2004-W2, Class AF

     4.403     04/25/34         697         703,342   

Argent Securities, Inc. Asset-Backed Pass-Through Certificates,
Series 2004-W6, Class M1

     0.708 %(a)      05/25/34         796         774,504   

Asset-Backed Pass-Through Certificates, Series 2004-R2, Class A1A

     0.848 %(a)      04/25/34         5,223         5,047,102   

Asset-Backed Securities Corp. Home Equity Loan Trust,
Series 2003-HE3, Class M1

     1.405 %(a)      06/15/33         1,898         1,796,080   

Asset-Backed Securities Corp. Home Equity Loan Trust,
Series 2004-HE3, Class M1

     0.968 %(a)      06/25/34         2,572         2,398,140   

Asset-Backed Securities Corp. Home Equity Loan Trust,
Series 2004-HE5, Class M1

     1.058 %(a)      08/25/34         3,947         3,804,700   

Asset-Backed Securities Corp. Home Equity Loan Trust,
Series 2005-HE6, Class M2

     0.668 %(a)      07/25/35         1,065         1,050,675   

Bear Stearns Asset-Backed Securities I Trust,
Series 2004-FR2, Class M2

     1.178 %(a)      06/25/34         4,100         3,463,971   

Bear Stearns Asset-Backed Securities I Trust,
Series 2004-HE7, Class M1

     1.058 %(a)      08/25/34         4,383         4,104,433   

Bear Stearns Asset-Backed Securities I Trust,
Series 2004-HE11, Class M2

     1.733 %(a)      12/25/34         9,000         8,434,854   

Bear Stearns Asset-Backed Securities Trust, Series 2002-2, Class A2

     1.358 %(a)      10/25/32         136         127,775   

Bear Stearns Asset-Backed Securities Trust,
Series 2004-HE2, Class M1

     1.058 %(a)      03/25/34         2,835         2,647,530   

Bear Stearns Asset-Backed Securities Trust,
Series 2004-HE3, Class M2

     1.883 %(a)      04/25/34         849         751,363   

Bear Stearns Asset-Backed Securities Trust,
Series 2004-HE5, Class M1

     1.013 %(a)      07/25/34         2,777         2,549,027   

CDC Mortgage Capital Trust, Series 2002-HE3, Class M2

     3.533 %(a)      03/25/33         56         5,974   

CDC Mortgage Capital Trust, Series 2003-HE4, Class M1

     1.133 %(a)      03/25/34         3,050         2,866,799   

Citigroup Mortgage Loan Trust, Inc., Series 2006-HE1, Class M1

     0.488 %(a)      01/25/36         723         701,646   

Citigroup Mortgage Loan Trust, Inc., Series 2005-OPT3, Class M2

     0.608 %(a)      05/25/35         3,418         3,205,121   

Countrywide Asset-Backed Certificates, Series 2003-BC5, Class 2A2

     0.858 %(a)      12/25/33         589         541,990   

Countrywide Asset-Backed Certificates, Series 2004-BC1, Class M1

     0.908 %(a)      02/25/34         2,124         2,005,839   

Countrywide Asset-Backed Certificates, Series 2004-BC4, Class M1

     1.208 %(a)      11/25/34         4,940         4,580,877   

Credit Suisse First Boston Mortgage Securities Corp.,
Series 2002-HE4, Class M2

     2.408 %(a)      08/25/32         20         17,239   

Equity One Mortgage Pass-Through Trust, Series 2004-3, Class M1

     5.700     07/25/34         157         149,668   

Fannie Mae REMICS, Series 2000-32, Class FM

     0.607 %(a)      10/18/30         3         2,865   

Fannie Mae REMICS, Series 2001-29, Class Z

     6.500     07/25/31         96         108,231   

FBR Securitization Trust, Series 2005-2, Class M1

     0.878 %(a)      09/25/35         1,400         1,323,781   

FHLMC Structured Pass-Through Securities, Series T-61, Class 1A1

     1.539 %(a)      07/25/44         310         315,638   

FHLMC Structured Pass-Through Securities, Series T-63, Class 1A1

     1.339 %(a)      02/25/45         32         32,431   

Finance America Mortgage Loan Trust, Series 2004-2, Class M1

     0.983 %(a)      08/25/34         3,043         2,777,161   

First Franklin Mortgage Loan Trust, Series 2005-FF3, Class M3

     0.638 %(a)      04/25/35         4,500         4,249,026   


                            

Floating Rate Mortgage Pass-Through Certificates,
Series 2001-2, Class M3

     3.083 %(a)      10/25/31         119         93,622   

Freddie Mac REMICS, Series 1628, Class LZ

     6.500     12/15/23         56         61,838   

Freddie Mac REMICS, Series 1935, Class JZ

     7.000     02/15/27         188         214,817   

Freddie Mac REMICS, Series 2241, Class PH

     7.500     07/15/30         104         121,269   

Fremont Home Loan Trust, Series 2003-B, Class M1

     1.208 %(a)      12/25/33         833         787,078   

Government National Mortgage Assoc., Series 2000-30, Class FB

     0.609 %(a)      10/16/30         1         1,160   

GSAMP Trust, Series 2004-FM1, Class M1

     1.133 %(a)      11/25/33         1,107         1,075,975   

GSAMP Trust, Series 2004-FM2, Class M1

     0.908 %(a)      01/25/34         2,376         2,258,740   

GSAMP Trust, Series 2004-HE2, Class M1

     0.808 %(a)      09/25/34         3,825         3,499,416   

Home Equity Asset Trust, Series 2003-5, Class M1

     1.208 %(a)      12/25/33         314         295,456   

Home Equity Asset Trust, Series 2003-6, Class M1

     1.208 %(a)      02/25/34         4,421         4,157,275   

Home Equity Asset Trust, Series 2004-2, Class M1

     0.953 %(a)      07/25/34         3,371         3,130,061   

Home Equity Mortgage Loan Asset-Backed Trust,
Series 2005-A, Class M3

     0.708 %(a)      03/25/35         1,750         1,651,032   

HSBC Home Equity Loan Trust , Series 2005-1, Class A

     0.447 %(a)      01/20/34         59         58,426   

HSBC Home Equity Loan Trust U.S.A., Series 2006-1, Class A2

     0.337 %(a)      01/20/36         1,448         1,419,444   

HSBC Home Equity Loan Trust U.S.A., Series 2006-1, Class M1

     0.437 %(a)      01/20/36         595         582,919   

HSBC Home Equity Loan Trust U.S.A., Series 2007-2, Class A4

     0.457 %(a)      07/20/36         1,600         1,510,578   

HSBC Home Equity Loan Trust U.S.A., Series 2007-2, Class M1

     0.467 %(a)      07/20/36         2,500         2,264,033   

HSBC Home Equity Loan Trust U.S.A., Series 2007-3, Class A4

     1.657 %(a)      11/20/36         970         938,488   

Long Beach Mortgage Loan Trust, Series 2004-1, Class M1

     0.908 %(a)      02/25/34         1,610         1,507,878   

Long Beach Mortgage Loan Trust, Series 2004-2, Class M1

     0.688 %(a)      06/25/34         668         630,529   

Long Beach Mortgage Loan Trust, Series 2004-4, Class 1A1

     0.718 %(a)      10/25/34         14         13,311   

MASTR Asset-Backed Securities Trust, Series 2004-HE1, Class M2

     1.253 %(a)      09/25/34         3,105         3,028,679   

MASTR Asset-Backed Securities Trust, Series 2004-WMC1, Class M1

     0.938 %(a)      02/25/34         741         731,768   

MASTR Asset-Backed Securities Trust, Series 2004-WMC3, Class M1

     0.983 %(a)      10/25/34         5,691         5,331,153   

MASTR Asset-Backed Securities Trust, Series 2005-NC1, Class M1

     0.878 %(a)      12/25/34         2,208         2,053,697   

Merrill Lynch Mortgage Investors Trust, Series 2003-OPT1, Class A3

     0.878 %(a)      07/25/34         533         501,860   

Merrill Lynch Mortgage Investors Trust, Series 2004-OPT1, Class A1A

     0.678 %(a)      06/25/35         1,565         1,475,212   

Merrill Lynch Mortgage Investors Trust, Series 2004-OPT1, Class A2A

     0.878 %(a)      06/25/35         424         392,888   

Merrill Lynch Mortgage Investors Trust, Series 2004-WMC3, Class M2

     2.003 %(a)      01/25/35         1,184         1,115,989   

Morgan Stanley ABS Capital I, Inc. Trust, Series 2003-HE1, Class M1

     1.358 %(a)      05/25/33         1,749         1,631,989   

Morgan Stanley ABS Capital I, Inc. Trust, Series 2003-NC5, Class M1

     1.433 %(a)      04/25/33         190         183,346   

Morgan Stanley ABS Capital I, Inc. Trust, Series 2004-HE3, Class M1

     1.013 %(a)      03/25/34         1,063         985,574   


                            

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-HE4, Class M1

     1.058 %(a)      05/25/34         3,967         3,724,894   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-HE5, Class M1

     1.103 %(a)      06/25/34         513         479,218   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-HE8, Class A7

     1.218 %(a)      09/25/34         663         615,998   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-NC1, Class M1

     1.208 %(a)      12/27/33         1,460         1,406,597   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-NC6, Class M1

     1.058 %(a)      07/25/34         4,617         4,339,022   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-OP1, Class M1

     1.028 %(a)      11/25/34         1,650         1,466,021   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-WMC1, Class M1

     1.088 %(a)      06/25/34         1,026         955,545   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2004-WMC2, Class M1

     1.073 %(a)      07/25/34         851         809,502   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2005-NC1, Class A2C

     0.918 %(a)      01/25/35         2,930         2,879,212   

Morgan Stanley ABS Capital I, Inc. Trust,
Series 2005-NC2, Class M3

     0.833 %(a)      03/25/35         1,500         1,397,444   

New Century Home Equity Loan Trust, Series 2003-4, Class M1

     1.283 %(a)      10/25/33         1,542         1,493,091   

New Century Home Equity Loan Trust, Series 2004-4, Class M1

     0.923 %(a)      02/25/35         1,326         1,188,880   

Option One Mortgage Loan Trust, Series 2004-1, Class M1

     1.058 %(a)      01/25/34         2,582         2,406,368   

Park Place Securities, Inc. Asset-Backed Pass-Through Certificates,
Series 2004-WHQ2, Class M2

     1.103 %(a)      02/25/35         1,686         1,670,336   

Residential Asset Mortgage Products, Inc.,
Series 2003-RS11, Class AI6A

     5.980     12/25/33         1,081         1,070,906   

Residential Asset Mortgage Products, Inc.,
Series 2004-RS12, Class MII2

     1.358 %(a)      12/25/34         122         120,299   

Residential Asset Securities Corp., Series 2004-KS1, Class AI5

     5.221     02/25/34         400         423,397   

Residential Asset Securities Corp., Series 2005-EMX4, Class A3

     0.498 %(a)      11/25/35         184         184,133   

Saxon Asset Securities Trust, Series 2002-3, Class M1

     1.283 %(a)      12/25/32         51         47,223   

Saxon Asset Securities Trust, Series 2005-3, Class M1

     0.618 %(a)      11/25/35         1,000         951,493   

Specialty Underwriting & Residential Finance Trust,
Series 2003-BC2, Class M1

     1.283 %(a)      06/25/34         956         923,923   

Specialty Underwriting & Residential Finance Trust,
Series 2003-BC4, Class M1

     1.058 %(a)      11/25/34         802         739,935   

Specialty Underwriting & Residential Finance Trust,
Series 2004-BC3, Class M1

     1.088 %(a)      07/25/35         4,842         4,574,698   

Structured Asset Investment Loan Trust, Series 2003-BC10, Class A4

     1.158 %(a)      10/25/33         1,402         1,320,424   

Structured Asset Investment Loan Trust (Cayman Islands),
Series 2003-BC8, Class 3A3

     1.058 %(a)      08/25/33         589         554,362   

Structured Asset Investment Loan Trust, Series 2004-1, Class A3

     0.958 %(a)      02/25/34         19,141         17,992,621   

Structured Asset Investment Loan Trust, Series 2004-6, Class A3

     0.958 %(a)      07/25/34         4,159         3,902,085   

Structured Asset Investment Loan Trust, Series 2004-7, Class A8

     1.358 %(a)      08/25/34         1,110         1,005,399   

Structured Asset Investment Loan Trust,
Series 2004-BNC1, Class A4

     1.098 %(a)      09/25/34         1,916         1,828,266   

Structured Asset Securities Corp. Mortgage Pass-Through Certificates, Series 2002-1A, Class 4A

     2.516 %(a)      02/25/32         8         8,611   


                           

Structured Asset Securities Corp. Mortgage Pass-Through Certificates, Series 2002-14A, Class 2A1

     2.125 %(a)      07/25/32        4         3,984   

Structured Asset Securities Corp. Mortgage Pass-Through Certificates, Series 2002-HF2, Class M3

     3.158 %(a)      07/25/32        254         236,570   

Structured Asset Securities Corp. Mortgage Pass-Through Certificates, Series 2003-30, Class 2A1

     5.083 %(a)      10/25/33        941         998,846   

Structured Asset Securities Corp. Mortgage Pass-Through Certificates, Series 2003-AM1, Class M1

     1.508 %(a)      04/25/33        780         755,207   
         

 

 

 
            199,886,832   
         

 

 

 

TOTAL ASSET-BACKED SECURITIES
(cost $461,395,980)

            476,751,289   
         

 

 

 

BANK LOANS(a) — 2.9%

         

Airlines

         

United Airlines

     4.000     04/01/19        670         674,962   
         

 

 

 

Automotive — 0.2%

         

Chrysler Group LLC

     3.500     05/24/17        1,706         1,713,258   

Schaeffler AG (Germany)

     4.250     01/27/17        500         503,542   

Tank & Rast GmbH (Germany)

     3.793     12/10/18      EUR 3,000         4,049,921   
         

 

 

 
            6,266,721   
         

 

 

 

Cable — 0.2%

         

Charter Communications Operating LLC

     3.000     12/31/20        1,379         1,380,219   

CSC Holdings LLC

     2.747     04/17/20        1,070         1,062,791   

Virgin Media Investment Holdings Ltd. (United Kingdom)

     3.500     06/08/20        2,000         2,004,250   
         

 

 

 
            4,447,260   
         

 

 

 

Capital Goods — 0.2%

         

ADS Waste Holdings, Inc.

     4.250     10/09/19        1,492         1,498,292   

Gardner Denver, Inc. (original cost $3,480,386; purchased 7/24/13)

     4.750     07/30/20 (b)(c)    EUR 2,594         3,512,868   
         

 

 

 
            5,011,160   
         

 

 

 

Chemicals — 0.3%

         

Ceramtec GmbH (Germany)

     4.750     08/30/20      EUR 2,400         3,274,666   

Macdermid, Inc.

     4.000     06/08/20        2,488         2,503,047   

OXEA Finance & Cy SCA (Luxembourg)

     4.500     01/15/20      EUR   2,660         3,619,408   
         

 

 

 
            9,397,121   
         

 

 

 

Electric — 0.2%

         

Calpine Construction Finance Co. LP

     3.000     05/04/20        1,045         1,039,853   

Calpine Corp.

     4.000     04/01/18        1,330         1,340,225   

Calpine Corp.

     4.000     10/09/19        978         984,333   

NRG Energy, Inc.

     2.750     07/01/18        1,489         1,482,546   
         

 

 

 
            4,846,957   
         

 

 

 

Foods — 0.3%

         

Birds Eye Iglo Group Ltd.

     5.237     01/31/18      EUR 2,475         3,355,438   

Del Monte Foods Co.

     4.000     03/08/18        2,707         2,717,490   

Dunkin Brands, Inc.

     3.750     02/14/20        989         991,965   
         

 

 

 
            7,064,893   
         

 

 

 

Gaming — 0.1%

         

CCM Merger, Inc.

     5.000     03/01/17        2,697         2,723,544   
         

 

 

 

Healthcare & Pharmaceutical — 0.3%

         

Alere, Inc.

     3.160     06/30/16        758         758,563   


                           

Catalent Pharma Solutions, Inc.

     3.747     09/15/16        1,979         1,986,841   

RPI Finance Trust (Luxembourg)

     3.250     05/09/18        1,930         1,934,604   

RPI Finance Trust (Luxembourg)

     3.250     11/09/18        2,098         2,098,485   

Valeant Pharmaceuticals International, Inc. (Canada)

     2.410     10/20/18        1,529         1,538,476   
         

 

 

 
            8,316,969   
         

 

 

 

Lodging

         

Hilton Worldwide Finance LLC

     3.750     10/26/20        1,184         1,191,876   
         

 

 

 

Media & Entertainment

         

Entravision Communications Corp.

     3.500     05/29/20        971         964,766   
         

 

 

 

Metals — 0.1%

         

FMG Resources (August 2006) Pty. Ltd.

     4.250     06/30/19        1,481         1,497,490   
         

 

 

 

Non-Captive Finance — 0.1%

         

RBS WorldPay, Inc. (United Kingdom)

     5.750     11/29/19      GBP 2,300         3,809,324   
         

 

 

 

Retailers — 0.3%

         

Alliance Boots Holdings Ltd. (United Kingdom)

     3.970     07/09/17      GBP   3,400         5,582,269   

B&M Retail Ltd. (United Kingdom)

     6.025     03/06/20      GBP 1,500         2,488,965   
         

 

 

 
            8,071,234   
         

 

 

 

Technology — 0.4%

         

First Data Corp.

     4.235     03/24/21        60         59,955   

First Data Corp.

     4.246     09/24/18        2,100         2,100,437   

First Data Corp.

     4.248     03/26/18        790         792,135   

Freescale Semiconductor, Inc.

     5.000     02/28/20        3,965         3,998,882   

Interactive Data Corp.

     3.750     02/12/18        2,588         2,594,205   

NXP BV (Netherlands)

     3.250     01/10/20        998         997,500   
         

 

 

 
            10,543,114   
         

 

 

 

Telecommunications

         

Fibertech Networks LLC

     4.500     12/18/19        167         167,173   
         

 

 

 

Transportation — 0.2%

         

RAC PLC (original cost $4,931,696; purchased 10/24/12)

     5.318     10/29/19 (b)(c)    GBP 3,000         4,969,917   
         

 

 

 

TOTAL BANK LOANS
(cost $78,023,762)

            79,964,481   
         

 

 

 

COMMERCIAL MORTGAGE-BACKED SECURITIES — 12.2%

  

      

Banc of America Commercial Mortgage Trust,
Series 2006-5, Class A2

     5.317     09/10/47        936         941,294   

Banc of America Commercial Mortgage Trust,
Series 2006-6, Class A2

     5.309     10/10/45        388         389,401   

Banc of America Commercial Mortgage Trust,
Series 2006-6, Class A3

     5.369     10/10/45        2,600         2,666,383   

Banc of America Commercial Mortgage Trust,
Series 2006-6, Class A4

     5.356     10/10/45        1,110         1,197,511   

Banc of America Commercial Mortgage Trust,
Series 2007-1, Class A3

     5.449     01/15/49        561         560,244   

Banc of America Commercial Mortgage Trust,
Series 2007-1, Class A4

     5.451     01/15/49        2,260         2,452,769   

Banc of America Commercial Mortgage Trust,
Series 2007-2, Class A1A

     5.584 %(a)      04/10/49        7,586         8,243,589   

Banc of America Commercial Mortgage Trust,
Series 2007-5, Class A1A

     5.361     02/10/51        2,939         3,255,162   

Banc of America Commercial Mortgage Trust,
Series 2007-5, Class A3

     5.620     02/10/51        1,273         1,276,901   


                            

Bear Stearns Commercial Mortgage Securities Trust,
Series 2005-PWR9, Class A2

     4.735     09/11/42         11         10,828   

Bear Stearns Commercial Mortgage Securities Trust,
Series 2007-T28, Class A3

     5.793     09/11/42         1,043         1,051,888   

CD Commercial Mortgage Trust, Series 2007-CD4, Class A3

     5.293     12/11/49         2,300         2,342,746   

Citigroup Commercial Mortgage Trust, Series 2007-C6, Class A3

     5.707 %(a)      12/10/49         1,364         1,381,577   

Citigroup Commercial Mortgage Trust, Series 2008-C7, Class A4

     6.136 %(a)      12/10/49         4,000         4,538,032   

Citigroup Commercial Mortgage Trust, Series 2013-GC11, Class A3

     2.815     04/10/46         7,000         6,638,779   

COBALT CMBS Commercial Mortgage Trust,
Series 2006-C1, Class A4

     5.223     08/15/48         2,010         2,167,695   

Commercial Mortgage Trust, Series 2005-GG3, Class AJ

     4.859 %(a)      08/10/42         2,600         2,691,016   

Commercial Mortgage Trust, Series 2006-C7, Class A4

     5.752 %(a)      06/10/46         2,000         2,182,674   

Commercial Mortgage Trust, Series 2007-GG9, Class A2

     5.381     03/10/39         1,216         1,243,028   

Commercial Mortgage Trust, Series 2012-CR5, Class A3

     2.540     12/10/45         3,000         2,820,105   

Commercial Mortgage Trust, Series 2013-CR7, Class A3

     2.929     03/10/46         9,800         9,381,050   

Commercial Mortgage Trust, Series 2013-CR9, Class A3

     4.022     07/10/45         11,800         12,221,472   

Commercial Mortgage Trust, Series 2013-CR10, Class A3

     3.923     08/10/46         6,900         7,089,219   

Credit Suisse Commercial Mortgage Trust, Series 2006-C5, Class A3

     5.311     12/15/39         2,758         2,995,376   

Credit Suisse Commercial Mortgage Trust, Series 2007-C4, Class A3

     5.760 %(a)      09/15/39         9,625         9,644,510   

Credit Suisse Commercial Mortgage Trust, Series 2007-C5, Class A3

     5.694 %(a)      09/15/40         2,686         2,730,495   

Credit Suisse First Boston Mortgage Securities Corp.,
Series 2005-C2, Class A4

     4.832     04/15/37         4,290         4,440,961   

Credit Suisse Mortgage Capital Certificates, Series 2006-C1, Class AM

     5.465 %(a)      02/15/39         1,030         1,112,902   

Federal National Mortgage Association, Series 2012-M8, Class X1, IO

     2.202 %(a)      12/25/19         47,012         3,830,975   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K006, Class AX1, IO

     1.035 %(a)      01/25/20         3,670         184,301   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K007, Class X1, IO

     1.197 %(a)      04/25/20         7,979         440,019   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K008, Class X1, IO

     1.664 %(a)      06/25/20         31,433         2,521,214   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K009, Class X1, IO

     1.489 %(a)      08/25/20         3,924         285,414   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K010, Class A2

     4.333     10/25/20         2,500         2,754,585   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K012, Class A2

     4.186 %(a)      12/25/20         1,488         1,614,072   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K014, Class X1, IO

     1.258 %(a)      04/25/21         13,188         963,262   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K015, Class X1, IO

     1.665 %(a)      07/25/21         1,510         149,248   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K020, Class X1, IO

     1.473 %(a)      05/25/22         49,917         4,704,654   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K021, Class X1, IO

     1.511 %(a)      06/25/22         30,118         2,963,068   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K501, Class X1A, IO

     1.742 %(a)      08/25/16         17,111         517,209   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K702, Class X1, IO

     1.541 %(a)      02/25/18         10,436        
573,519
  


                            

FHLMC Multifamily Structured Pass-Through Certificates,
Series K703, Class X1, IO

     2.082 %(a)      05/25/18         9,420         735,439   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K710, Class X1, IO

     1.782 %(a)      05/25/19         32,277         2,580,434   

FHLMC Multifamily Structured Pass-Through Certificates,
Series K711, Class X1, IO

     1.710 %(a)      07/25/19         48,481         3,802,153   

FHLMC Multifamily Structured Pass-Through Certificates,
Series KAIV, Class X1, IO

     1.378 %(a)      06/25/21         2,124         156,731   

GE Capital Commercial Mortgage Corp., Series 2007-C1, Class A2

     5.417     12/10/49         1,877         1,876,820   

GE Commercial Mortgage Corp., Series 2007-C1, Class AAB

     5.477     12/10/49         1,268         1,316,182   

GMAC Commercial Mortgage Securities, Inc., Series 2006-C1, Class A4

     5.238 %(a)      11/10/45         770         807,574   

GS Mortgage Securities Corp. II, Series 2014-GC18, Class A4

     4.074     01/10/47         10,000         10,308,000   

GS Mortgage Securities Trust, Series 2006-GG6, Class AAB

     5.587 %(a)      04/10/38         322         328,835   

GS Mortgage Securities Trust, Series 2013-GC12, Class A3

     2.860     06/10/46         11,400         10,820,663   

JPMorgan Chase Commercial Mortgage Securities Corp.,
Series 2012-LC9, Class A2

     1.677     12/15/47         112         111,852   

JPMorgan Chase Commercial Mortgage Securities Corp.,
Series 2012-LC9, Class A4

     2.611     12/15/47         4,000         3,771,108   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2004-CBX, Class AJ

     4.951 %(a)      01/12/37         550         564,552   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2005-CB13, Class A4

     5.244 %(a)      01/12/43         2,080         2,212,954   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2005-LDP3, Class A4B

     4.996 %(a)      08/15/42         500         528,990   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2005-LDP4, Class AM

     4.999 %(a)      10/15/42         750         793,512   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2005-LDP5, Class A3

     5.269 %(a)      12/15/44         3,172         3,217,643   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2007-LD11, Class A2

     5.798 %(a)      06/15/49         1,124         1,132,301   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2007-LD12, Class A3

     5.922 %(a)      02/15/51         2,797         2,821,405   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2012-CBX, Class A3

     3.139     06/15/45         6,300         6,431,935   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2013-C10, Class A4

     2.875     12/15/47         11,000         10,530,498   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2013-C13, Class A3

     3.525     01/15/46         3,000         3,092,412   

JPMorgan Chase Commercial Mortgage Securities Trust,
Series 2013-LC11, Class A4

     2.694     04/15/46         11,400         10,701,910   

LB-UBS Commercial Mortgage Trust, Series 2005-C7, Class AM

     5.263 %(a)      11/15/40         3,870         4,143,713   

LB-UBS Commercial Mortgage Trust, Series 2006-C3, Class A4

     5.661 %(a)      03/15/39         35         37,590   

LB-UBS Commercial Mortgage Trust, Series 2006-C7, Class A2

     5.300     11/15/38         375         389,306   

Merrill Lynch Mortgage Trust, Series 2005-CIP1, Class ASB

     5.022 %(a)      07/12/38         412         420,263   

Merrill Lynch Mortgage Trust, Series 2006-C1, Class AM

     5.687 %(a)      05/12/39         3,380         3,672,924   

Merrill Lynch Mortgage Trust, Series 2007-C1, Class A3

     5.841 %(a)      06/12/50         1,560         1,607,390   

Merrill Lynch Mortgage Trust, Series 2007-C1, Class ASB

     5.841 %(a)      06/12/50         1,000         1,057,851   

Merrill Lynch/Countrywide Commercial Mortgage Trust,
Series 2006-1, Class AM

     5.519 %(a)      02/12/39         940         1,020,392   


                            

Merrill Lynch/Countrywide Commercial Mortgage Trust,
Series 2006-4, Class A2

     5.112     12/12/49         294         294,055   

Merrill Lynch/Countrywide Commercial Mortgage Trust,
Series 2006-4, Class A3

     5.172 %(a)      12/12/49         2,900         3,144,644   

Merrill Lynch/Countrywide Commercial Mortgage Trust,
Series 2007-9, Class A2

     5.590     09/12/49         406         406,615   

Merrill Lynch/Countrywide Commercial Mortgage Trust,
Series 2013-C11, Class A3

     3.960     08/15/46         10,400         10,781,763   

Morgan Stanley Bank of America Merrill Lynch Trust,
Series 2006-2, Class AM

     5.885 %(a)      06/12/46         60         66,127   

Morgan Stanley Bank of America Merrill Lynch Trust,
Series 2013-C7, Class A3

     2.655     02/15/46         10,000         9,443,210   

Morgan Stanley Bank of America Merrill Lynch Trust,
Series 2013-C8, Class A3

     2.863     12/15/48         3,400         3,262,035   

Morgan Stanley Bank of America Merrill Lynch Trust,
Series 2013-C9, Class A3

     2.834     05/15/46         5,900         5,615,431   

Morgan Stanley Capital I Trust, Series 2006-T21, Class A4

     5.162 %(a)      10/12/52         708         753,066   

Morgan Stanley Capital I Trust, Series 2007-HQ11, Class A4

     5.447 %(a)      02/12/44         3,800         4,195,683   

Morgan Stanley Capital I Trust, Series 2007-HQ11, Class A31

     5.439     02/12/44         513         525,618   

Morgan Stanley Capital I Trust, Series 2007-HQ12, Class A2

     5.601 %(a)      04/12/49         3,919         3,958,416   

Morgan Stanley Capital I Trust, Series 2007-IQ14, Class AAB

     5.654 %(a)      04/15/49         3,320         3,447,275   

UBS-Barclays Commercial Mortgage Trust, Series 2012-C2, Class A3

     3.058     05/10/63         1,000         1,018,633   

UBS-Barclays Commercial Mortgage Trust, Series 2012-C4, Class A3

     2.533     12/10/45         4,150         4,068,021   

UBS-Barclays Commercial Mortgage Trust, Series 2012-C4, Class A4

     2.792     12/10/45         5,200         4,941,196   

UBS-Barclays Commercial Mortgage Trust, Series 2013-C5, Class A3

     2.920     03/10/46         9,100         8,697,562   

UBS-Barclays Commercial Mortgage Trust,
Series 2013-C5, Class XB, IO, 144A

     0.446 %(a)      03/10/46         96,528         3,491,611   

UBS-Barclays Commercial Mortgage Trust, Series 2013-C6, Class A3

     2.971     04/10/46         9,500         9,100,915   

Wachovia Bank Commercial Mortgage Trust,
Series 2005-C20, Class AMFX

     5.179 %(a)      07/15/42         4,200         4,452,575   

Wachovia Bank Commercial Mortgage Trust,
Series 2006-C23, Class A4

     5.418 %(a)      01/15/45         2,398         2,549,306   

Wachovia Bank Commercial Mortgage Trust,
Series 2006-C25, Class A5

     5.727 %(a)      05/15/43         5,000         5,456,870   

Wachovia Bank Commercial Mortgage Trust,
Series 2006-C26, Class APB

     5.997     06/15/45         2,118         2,227,318   

Wachovia Bank Commercial Mortgage Trust,
Series 2006-C27, Class A3

     5.765 %(a)      07/15/45         17,114         18,433,769   

Wachovia Bank Commercial Mortgage Trust,
Series 2006-C28, Class A2

     5.500     10/15/48         40         40,384   

Wachovia Bank Commercial Mortgage Trust,
Series 2006-C28, Class A4

     5.572     10/15/48         2,500         2,735,238   

Wachovia Bank Commercial Mortgage Trust,
Series 2007-C32, Class APB

     5.750 %(a)      06/15/49         2,784         2,839,678   

Wachovia Bank Commercial Mortgage Trust,
Series 2007-C33, Class A4

     5.922 %(a)      02/15/51         5,680         6,243,411   

Wachovia Bank Commercial Mortgage Trust,
Series 2007-C34, Class A2

     5.569     05/15/46         766         765,479   


                           

Wells Fargo Commercial Mortgage Trust,
Series 2013-LC12, Class A3

     3.986     07/15/46        6,900         7,145,267   
         

 

 

 

TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES
(cost $350,374,531)

    

         340,263,650   
         

 

 

 

CORPORATE BONDS — 45.5%

         

Aerospace & Defense — 0.1%

         

B/E Aerospace, Inc., Sr. Unsec’d. Notes

     5.250     04/01/22        3,000         3,022,500   

Textron, Inc., Sr. Unsec’d. Notes

     7.250     10/01/19        800         946,515   
         

 

 

 
            3,969,015   
         

 

 

 

Airlines — 0.4%

         

Continental Airlines, Pass-Through Trust, Series 2001-1, Class A-1,
Pass-Through Certificates

     6.703     06/15/21 (b)      5         5,164   

Continental Airlines, Pass-Through Trust, Series 2001-1, Class B,
Pass-Through Certificates

     7.373     12/15/15        170         180,647   

Continental Airlines, Pass-Through Trust, Series 2007-1, Class A,
Pass-Through Certificates

     5.983     04/19/22        430         471,906   

Continental Airlines, Pass-Through Trust, Series 2010-1, Class A,
Pass-Through Certificates

     4.750     01/12/21        387         415,301   

Continental Airlines, Pass-Through Trust, Series 2012-1, Class A,
Pass-Through Certificates

     4.150     04/11/24 (d)      2,877         2,945,741   

Continental Airlines, Pass-Through Trust, Series 2012-2, Class A,
Pass-Through Certificates

     4.000     10/29/24        975         975,000   

Delta Air Lines, Inc., Pass-Through Trust, Series 2007-1, Class A,
Pass-Through Certificates

     6.821     08/10/22        1,907         2,174,260   

Delta Air Lines, Inc., Pass-Through Trust, Series 2010-2, Class A,
Pass-Through Certificates

     4.950     05/23/19 (d)      1,099         1,192,916   

Delta Air Lines, Inc., Pass-Through Trust, Series 2011-1, Class A,
Pass-Through Certificates

     5.300     04/15/19        824         906,167   

Delta Air Lines, Inc., Pass-Through Trust, Series 2012-1, Class A,
Pass-Through Certificates

     4.750     05/07/20 (d)      1,627         1,753,499   
         

 

 

 
            11,020,601   
         

 

 

 

Automotive — 1.4%

         

Chrysler Group LLC/CG Co-Issuer, Inc., Sec’d. Notes

     8.000     06/15/19 (d)      2,462         2,680,503   

Dana Holding Corp., Sr. Unsec’d. Notes

     5.375     09/15/21 (d)      1,425         1,432,125   

Ford Motor Co., Sr. Unsec’d. Notes

     4.750     01/15/43 (d)      1,850         1,722,400   

Ford Motor Credit Co. LLC, Sr. Unsec’d. Notes

     2.375     01/16/18        5,290         5,353,506   

Ford Motor Credit Co. LLC, Sr. Unsec’d. Notes

     2.750     05/15/15        2,295         2,350,589   

Ford Motor Credit Co. LLC, Sr. Unsec’d. Notes

     3.000     06/12/17        2,588         2,690,262   

Ford Motor Credit Co. LLC, Sr. Unsec’d. Notes

     4.207     04/15/16        2,550         2,714,990   

Ford Motor Credit Co. LLC, Sr. Unsec’d. Notes

     4.250     02/03/17 (d)      8,770         9,417,472   

Ford Motor Credit Co. LLC, Sr. Unsec’d. Notes

     5.000     05/15/18        600         664,932   

General Motors Co., Sr. Unsec’d. Notes, 144A

     4.875     10/02/23 (d)      3,725         3,771,563   

General Motors Co., Sr. Unsec’d. Notes, 144A

     6.250     10/02/43        3,990         4,219,425   

Harley-Davidson Financial Services, Inc., Gtd. Notes, MTN, 144A

     2.700     03/15/17        650         674,014   

Harley-Davidson Funding Corp., Gtd. Notes, MTN, 144A

     5.750     12/15/14        250         260,796   
         

 

 

 
            37,952,577   
         

 

 

 

Banking — 11.4%

         

American Express Co., Sr. Unsec’d. Notes(e)

     2.650     12/02/22        8,090         7,638,983   

American Express Co., Sr. Unsec’d. Notes(e)

     7.000     03/19/18        1,635         1,967,911   

Banco de Credito del Peru (Peru), Sr. Unsec’d. Notes, 144A

     4.250     04/01/23        2,532         2,316,780   

Banco Santander Chile (Chile), Sr. Unsec’d. Notes, 144A

     3.750     09/22/15        650         669,634   

Bangkok Bank PCL (Thailand), Sr. Unsec’d. Notes, 144A

     3.875     09/27/22 (d)      3,220         3,031,649   

Bank of America Corp., Jr. Sub. Notes

     8.000 %(a)      12/29/49 (d)      1,500         1,659,495   


                           

Bank of America Corp., Jr. Sub. Notes

     8.125 %(a)      12/29/49        5,000         5,563,000   

Bank of America Corp., Sr. Unsec’d. Notes

     4.500     04/01/15        1,845         1,923,136   

Bank of America Corp., Sr. Unsec’d. Notes

     5.700     01/24/22        13,710         15,622,161   

Bank of America Corp., Sr. Unsec’d. Notes

     5.875     01/05/21        3,620         4,168,998   

Bank of America Corp., Sr. Unsec’d. Notes

     6.000     09/01/17        1,265         1,445,158   

Bank of America Corp., Sr. Unsec’d. Notes

     7.625     06/01/19        2,435         3,015,229   

Bank of America Corp., Sr. Unsec’d. Notes, MTN

     4.125     01/22/24 (d)      5,485         5,538,215   

Bank of America Corp., Sr. Unsec’d. Notes, MTN

     5.000     05/13/21        4,210         4,607,685   

Bank of America Corp., Sr. Unsec’d. Notes, MTN

     5.650     05/01/18 (d)      2,000         2,278,888   

Bank of America Corp., Sr. Unsec’d. Notes, Series 1

     3.750     07/12/16        735         779,685   

Bank of America NA, Sub. Notes

     5.300     03/15/17        250         276,913   

Barclays Bank PLC (United Kingdom), Sr. Unsec’d. Notes

     6.750     05/22/19 (d)      1,555         1,883,777   

Bear Stearns Cos. LLC (The), Sr. Unsec’d. Notes

     7.250     02/01/18        600         717,982   

Capital One Bank USA NA, Sub. Notes

     3.375     02/15/23 (d)      6,180         5,891,586   

Capital One Financial Corp., Sr. Unsec’d. Notes

     3.500     06/15/23        1,650         1,595,354   

Capital One Financial Corp., Sr. Unsec’d. Notes

     5.250     02/21/17        1,750         1,929,148   

Capital One Financial Corp., Sub. Notes

     6.150     09/01/16        150         168,223   

Citigroup, Inc., Sr. Unsec’d. Notes

     3.375     03/01/23 (d)      2,050         1,959,941   

Citigroup, Inc., Sr. Unsec’d. Notes

     4.500     01/14/22 (d)      9,695         10,282,023   

Citigroup, Inc., Sr. Unsec’d. Notes

     6.125     11/21/17        750         864,252   

Citigroup, Inc., Sr. Unsec’d. Notes

     6.125     05/15/18 (d)      4,350         5,055,492   

Citigroup, Inc., Sr. Unsec’d. Notes

     8.125     07/15/39 (d)      2,400         3,439,692   

Citigroup, Inc., Sr. Unsec’d. Notes

     8.500     05/22/19        3,385         4,356,167   

Citigroup, Inc., Sub. Notes

     4.050     07/30/22 (d)      3,275         3,282,978   

Citigroup, Inc., Sub. Notes

     6.675     09/13/43        1,100         1,258,672   

Discover Bank, Sr. Unsec’d. Notes

     2.000     02/21/18        3,575         3,569,924   

Discover Bank, Sub. Notes

     7.000     04/15/20        6,980         8,249,871   

Eurasian Development Bank (Supranational Bank), Sr. Unsec’d. Notes, 144A

     5.000     09/26/20        3,975         4,034,625   

Fifth Third Bank, Sr. Unsec’d. Notes

     1.450     02/28/18        7,900         7,790,032   

Goldman Sachs Group, Inc. (The), Sr. Unsec’d. Notes

     3.625     01/22/23 (d)      810         790,533   

Goldman Sachs Group, Inc. (The), Sr. Unsec’d. Notes

     5.750     01/24/22        16,755         18,926,917   

Goldman Sachs Group, Inc. (The), Sr. Unsec’d. Notes

     5.950     01/18/18        190         216,315   

Goldman Sachs Group, Inc. (The), Sr. Unsec’d. Notes

     6.000     06/15/20        4,520         5,210,218   

Goldman Sachs Group, Inc. (The), Sr. Unsec’d. Notes

     6.150     04/01/18 (d)      575         660,595   

Goldman Sachs Group, Inc. (The), Sr. Unsec’d. Notes

     6.250     09/01/17        840         962,153   

Goldman Sachs Group, Inc. (The), Sr. Unsec’d. Notes

     6.250     02/01/41        4,020         4,690,910   

Goldman Sachs Group, Inc. (The), Sub. Notes

     6.750     10/01/37        185         205,554   

HSBC Holdings PLC (United Kingdom), Sr. Unsec’d. Notes

     4.875     01/14/22        450         493,034   

HSBC Holdings PLC (United Kingdom), Sr. Unsec’d. Notes

     5.100     04/05/21        230         257,065   

HSBC Holdings PLC (United Kingdom), Sub. Notes

     6.500     05/02/36        6,016         7,106,520   

HSBC Holdings PLC (United Kingdom), Sub. Notes

     6.500     09/15/37        1,255         1,493,725   

Huntington Bancshares, Inc., Sub. Notes

     7.000     12/15/20 (d)      120         144,548   

ICICI Bank Ltd. (India), Jr. Sub. Notes, 144A

     7.250 %(a)      08/29/49        900         855,000   

Intesa Sanpaolo SpA (Italy), Bank Gtd. Notes

     3.125     01/15/16        3,200         3,264,016   

JPMorgan Chase & Co., Jr. Sub. Notes

     7.900 %(a)      04/29/49        2,135         2,361,737   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     3.150     07/05/16        3,355         3,509,562   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     3.200     01/25/23 (d)      1,600         1,533,966   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     3.250     09/23/22        8,770         8,501,989   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     4.250     10/15/20        5,300         5,676,766   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     4.350     08/15/21        2,240         2,385,515   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     4.400     07/22/20        2,400         2,593,632   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     4.500     01/24/22        3,350         3,577,401   

JPMorgan Chase & Co., Sr. Unsec’d. Notes

     5.600     07/15/41        830         920,619   

JPMorgan Chase & Co., Sub. Notes

     3.375     05/01/23 (d)      2,775         2,605,986   


                           

JPMorgan Chase & Co., Sub. Notes

     5.625     08/16/43        1,900         2,016,953   

KeyBank NA, Sr. Unsec’d. Notes

     1.650     02/01/18        3,350         3,336,292   

KeyCorp, Sr. Unsec’d. Notes, MTN

     5.100     03/24/21 (d)      560         626,027   

Krung Thai Bank PCL (Thailand), Jr. Sub. Notes

     7.378 %(a)      10/29/49        700         709,326   

Lloyds Bank PLC (United Kingdom), Bank Gtd. Notes

     4.200     03/28/17 (d)      1,975         2,147,184   

Lloyds Bank PLC (United Kingdom), Bank Gtd. Notes

     6.375     01/21/21 (d)      2,250         2,713,518   

Lloyds Bank PLC (United Kingdom), Bank Gtd. Notes, MTN, 144A

     5.800     01/13/20        6,330         7,372,551   

Mizuho Bank Ltd. (Japan), Gtd. Notes, 144A

     1.850     03/21/18        2,700         2,670,605   

Morgan Stanley, Sr. Unsec’d. Notes

     3.750     02/25/23 (d)      2,575         2,536,882   

Morgan Stanley, Sr. Unsec’d. Notes

     5.750     01/25/21        2,920         3,318,306   

Morgan Stanley, Sr. Unsec’d. Notes

     6.375     07/24/42        2,360         2,799,637   

Morgan Stanley, Sr. Unsec’d. Notes, MTN

     4.100     01/26/15        4,660         4,816,213   

Morgan Stanley, Sr. Unsec’d. Notes, MTN

     5.450     01/09/17 (d)      1,635         1,821,774   

Morgan Stanley, Sr. Unsec’d. Notes, MTN

     5.500     07/28/21        10,000         11,274,140   

Morgan Stanley, Sr. Unsec’d. Notes, MTN

     5.625     09/23/19        2,530         2,890,553   

Morgan Stanley, Sr. Unsec’d. Notes, MTN

     6.250     08/28/17        4,640         5,335,824   

Northern Trust Corp., Sub. Notes

     3.950     10/30/25        3,010         3,019,478   

People’s United Financial, Inc., Sr. Unsec’d. Notes

     3.650     12/06/22        3,225         3,128,502   

PNC Bank NA, Sub. Notes

     2.950     01/30/23 (d)      6,800         6,445,224   

PNC Financial Services Group, Inc., Sr. Unsec’d. Notes

     2.854     11/09/22        1,600         1,524,797   

Royal Bank of Scotland Group PLC (The) (United Kingdom), Bank Gtd. Notes

     6.125     01/11/21 (d)      3,025         3,515,262   

Royal Bank of Scotland Group PLC (The) (United Kingdom), Sr. Unsec’d. Notes

     2.550     09/18/15        1,225         1,252,930   

Santander Holdings USA, Inc., Sr. Unsec’d. Notes

     3.000     09/24/15        1,625         1,680,837   

Santander Holdings USA, Inc., Sr. Unsec’d. Notes

     4.625     04/19/16        270         289,149   

State Street Corp., Jr. Sub. Debs

     4.956 %(a)      03/15/18        1,375         1,505,185   

State Street Corp., Sr. Unsec’d. Notes

     3.700     11/20/23        5,105         5,139,985   

Sumitomo Mitsui Banking Corp. (Japan), Bank Gtd. Notes

     2.400     01/10/19        1,225         1,238,272   

Sumitomo Mitsui Banking Corp. (Japan), Bank Gtd. Notes

     3.000     01/18/23        5,125         4,904,374   

SunTrust Bank, Sr. Unsec’d. Notes

     2.750     05/01/23        3,675         3,415,887   

US Bancorp, Jr. Sub. Notes

     3.442     02/01/16        1,890         1,973,806   

US Bancorp, Sub. Notes, MTN

     2.950     07/15/22        1,750         1,668,301   

Wells Fargo & Co., Sr. Unsec’d. Notes, MTN

     3.000     01/22/21        3,075         3,088,838   

Wells Fargo & Co., Sr. Unsec’d. Notes, MTN

     3.500     03/08/22 (d)      5,970         6,038,906   

Wells Fargo & Co., Sr. Unsec’d. Notes, MTN

     4.600     04/01/21        1,335         1,469,260   

Wells Fargo & Co., Sub. Notes

     4.125     08/15/23 (d)      3,845         3,835,730   
         

 

 

 
            319,298,043   
         

 

 

 

Brokerage — 0.1%

         

Jefferies Group LLC, Sr. Unsec’d. Notes

     6.500     01/20/43        1,425         1,477,410   

Lehman Brothers Holdings, Inc., Sr. Unsec’d. Notes(f)

     6.750 %(a)      05/02/18        745         165,763   

Nomura Holdings, Inc. (Japan), Sr. Unsec’d. Notes, MTN

     2.000     09/13/16        2,330         2,354,293   
         

 

 

 
            3,997,466   
         

 

 

 

Building Materials & Construction — 0.7%

         

Cemex Espana Luxembourg (Mexico), Sr. Sec’d. Notes, RegS

     9.250     05/12/20        920         994,980   

Cemex Espana Luxembourg (Mexico), Sr. Sec’d. Notes, 144A

     9.250     05/12/20        1,995         2,157,593   

Cemex Espana Luxembourg (Mexico), Sr. Sec’d. Notes, 144A

     9.875     04/30/19        2,730         3,071,250   

Cemex SAB de CV (Mexico), Sr. Sec’d. Notes, RegS

     9.500     06/15/18        1,000         1,122,500   

Cemex SAB de CV (Mexico), Sr. Sec’d. Notes, 144A

     6.500     12/10/19        2,000         2,030,000   

Ceramtec Group GmbH (Germany), Gtd. Notes, 144A

     8.250     08/15/21      EUR 500         728,653   

Mohawk Industries, Inc., Sr. Unsec’d. Notes

     3.850     02/01/23        1,348         1,319,355   

Odebrecht Finance Ltd. (Brazil), Gtd. Notes, 144A

     5.125     06/26/22 (d)      3,225         3,071,813   

Odebrecht Finance Ltd. (Brazil), Gtd. Notes, 144A

     7.125     06/26/42        2,820         2,643,750   


                           

Owens Corning, Inc., Gtd. Notes

     4.200     12/15/22 (d)         1,625         1,605,308   

Toll Brothers Finance Corp., Gtd. Notes

     5.150     05/15/15           1,885         1,965,113   
            

 

 

 
               20,710,315   
            

 

 

 

Cable — 1.9%

            

CCO Holdings LLC/CCO Holdings Capital Corp., Gtd. Notes

     5.750     01/15/24 (d)         2,000         1,945,000   

Columbus International, Inc. (Barbados), Sr. Sec’d. Notes, RegS (original cost $562,500; purchased 11/08/12)

     11.500     11/20/14 (b)(c)         500         523,625   

Columbus International, Inc. (Barbados), Sr. Sec’d. Notes, 144A (original cost $4,482,606; purchased 09/13/12-08/27/13)

     11.500     11/20/14 (b)(c)         4,069         4,261,260   

Comcast Corp., Gtd. Notes

     4.250     01/15/33 (d)         3,555         3,396,938   

Comcast Corp., Gtd. Notes

     6.450     03/15/37           2,380         2,837,084   

Comcast Corp., Gtd. Notes

     6.950     08/15/37           1,720         2,168,569   

CSC Holdings LLC, Sr. Unsec’d. Notes

     6.750     11/15/21 (d)         1,650         1,798,500   

CSC Holdings LLC, Sr. Unsec’d. Notes

     7.625     07/15/18           715         816,888   

CSC Holdings LLC, Sr. Unsec’d. Notes

     8.625     02/15/19           970         1,134,900   

DIRECTV Holdings LLC/DIRECTV Financing Co., Inc., Gtd. Notes

     3.500     03/01/16           875         918,647   

DIRECTV Holdings LLC/DIRECTV Financing Co., Inc., Gtd. Notes

     3.550     03/15/15           175         180,352   

DIRECTV Holdings LLC/DIRECTV Financing Co., Inc., Gtd. Notes

     5.150     03/15/42           2,700         2,484,456   

Nara Cable Funding Ltd. (Spain), Sr. Sec’d. Notes, RegS

     8.875     12/01/18        EUR        
 
 
1,800
  
  
     2,631,600   

NBCUniversal Media LLC, Gtd. Notes

     5.950     04/01/41           1,455         1,646,303   

NET Servicos de Comunicacao SA (Brazil), Gtd. Notes

     7.500     01/27/20           4,400         4,752,000   

Time Warner Cable, Inc., Gtd. Notes

     6.750     07/01/18 (d)         1,565         1,768,425   

Time Warner Cable, Inc., Gtd. Notes

     8.250     02/14/14           255         255,486   

Unitymedia Hessen GmbH & Co. KG/Unitymedia NRW GmbH (Germany), Sr. Sec’d. Notes, 144A

     5.125     01/21/23        EUR        
 
 
4,200
  
  
     5,792,029   

Unitymedia Hessen GmbH & Co. KG/Unitymedia NRW GmbH (Germany), Sr. Sec’d. Notes, MTN, 144A

     5.500     09/15/22        EUR         3,425         4,865,306   

UPCB Finance III Ltd. (Netherlands), Sr. Sec’d. Notes, 144A

     6.625     07/01/20           2,550         2,703,000   

Videotron Ltd. (Canada), Gtd. Notes

     9.125     04/15/18           1,847         1,930,115   

Virgin Media Secured Finance PLC (United Kingdom), Sr. Sec’d. Notes, 144A

     6.000     04/15/21        GBP         3,000         5,041,426   
            

 

 

 
               53,851,909   
            

 

 

 

Capital Goods — 1.4%

            

Ashtead Capital, Inc. (United Kingdom), Sec’d. Notes, 144A

     6.500     07/15/22           3,425         3,664,750   

Avis Budget Car Rental LLC/Avis Budget Finance, Inc., Gtd. Notes

     4.875     11/15/17 (d)         4,700         4,899,750   

ERAC USA Finance LLC, Gtd. Notes, 144A (original cost $1,279,642; purchased 03/12/12)

     2.750     03/15/17 (b)(c)         1,280         1,320,142   

ERAC USA Finance LLC, Gtd. Notes, 144A (original cost $269,528; purchased 04/24/06)

     6.200     11/01/16 (b)(c)         270         305,142   

ERAC USA Finance LLC, Gtd. Notes, 144A (original cost $967,253; purchased 05/30/13)

     6.700     06/01/34 (b)(c)         810         941,742   

ERAC USA Finance LLC, Gtd. Notes, 144A (original cost $5,100,644; purchased 10/26/11-05/14/13)

     7.000     10/15/37 (b)(c)         4,090         5,038,132   

General Electric Co., Sr. Unsec’d. Notes(e)

     4.125     10/09/42           1,550         1,448,731   

Hertz Corp. (The), Gtd. Notes

     6.750     04/15/19 (d)         1,850         1,967,938   

Penske Truck Leasing Co. LP/PTL Finance Corp., Sr. Unsec’d. Notes, 144A (original cost $699,727; purchased 07/10/12)

     2.500     07/11/14 (b)(c)         700         705,258   


                           

Penske Truck Leasing Co. LP/PTL Finance Corp., Sr. Unsec’d. Notes, 144A (original cost $3,969,117; purchased 09/24/12)

     2.500     03/15/16 (b)(c)      3,975         4,085,771   

Penske Truck Leasing Co. LP/PTL Finance Corp., Sr. Unsec’d. Notes, 144A (original cost $947,939; purchased 01/14/13)

     2.875     07/17/18 (b)(c)(d)      950         966,649   

Penske Truck Leasing Co. LP/PTL Finance Corp., Unsec’d. Notes, 144A (original cost $899,127; purchased 05/08/12)

     3.125     05/11/15 (b)(c)      900         926,200   

Pentair Finance SA, Gtd. Notes

     1.875     09/15/17        1,075         1,074,796   

Rockwell Automation, Inc., Sr. Unsec’d. Notes

     5.200     01/15/98        1,500         1,356,740   

United Rentals North America, Inc., Gtd. Notes

     7.625     04/15/22 (d)      4,000         4,500,000   

United Rentals North America, Inc., Gtd. Notes

     9.250     12/15/19        1,800         1,980,000   

United Technologies Corp., Sr. Unsec’d. Notes

     4.500     06/01/42        2,250         2,266,407   

Xylem, Inc., Sr. Unsec’d. Notes

     4.875     10/01/21        1,505         1,620,251   
         

 

 

 
            39,068,399   
         

 

 

 

Chemicals — 1.1%

         

Agrium, Inc. (Canada), Sr. Unsec’d. Notes

     4.900     06/01/43        2,050         1,950,712   

Agrium, Inc. (Canada), Sr. Unsec’d. Notes

     6.125     01/15/41        1,730         1,927,009   

CF Industries, Inc., Gtd. Notes

     4.950     06/01/43 (d)      3,565         3,293,472   

CF Industries, Inc., Gtd. Notes

     6.875     05/01/18        240         280,530   

CF Industries, Inc., Gtd. Notes

     7.125     05/01/20        195         232,050   

Dow Chemical Co. (The), Sr. Unsec’d. Notes

     3.000     11/15/22 (d)      3,675         3,460,913   

Dow Chemical Co. (The), Sr. Unsec’d. Notes

     4.250     11/15/20        2,500         2,657,665   

Dow Chemical Co. (The), Sr. Unsec’d. Notes

     5.250     11/15/41        2,235         2,292,553   

Dow Chemical Co. (The), Sr. Unsec’d. Notes

     9.400     05/15/39 (d)      410         635,913   

LyondellBasell Industries NV, Sr. Unsec’d. Notes

     5.000     04/15/19        3,575         4,002,781   

Mexichem SAB de CV (Mexico), Sr. Unsec’d. Notes, RegS

     4.875     09/19/22        600         573,750   

Mosaic Co. (The), Sr. Unsec’d. Notes

     5.450     11/15/33        1,465         1,529,379   

Mosaic Co. (The), Sr. Unsec’d. Notes

     5.625     11/15/43        3,110         3,192,169   

Phosagro OAO via Phosagro Bond Funding Ltd. (Russia), Gtd. Notes, 144A

     4.204     02/13/18        1,330         1,308,388   

Sibur Securities Ltd. (Russia), Gtd. Notes, 144A

     3.914     01/31/18        2,425         2,328,000   

Union Carbide Corp., Sr. Unsec’d. Notes

     7.500     06/01/25        850         1,028,999   
         

 

 

 
            30,694,283   
         

 

 

 

Consumer 0.2%

         

First Quality Finance Co., Inc., Sr. Unsec’d. Notes, 144A

     4.625     05/15/21        2,325         2,202,938   

QVC, Inc., Sr. Sec’d. Notes

     5.125     07/02/22        1,700         1,724,179   

QVC, Inc., Sr. Sec’d. Notes, 144A

     7.500     10/01/19        2,700         2,902,894   
         

 

 

 
            6,830,011   
         

 

 

 

Electric — 1.8%

         

AES Corp. (The), Sr. Unsec’d. Notes

     8.000     10/15/17        6,800         7,922,000   

American Electric Power Co., Inc., Sr. Unsec’d. Notes

     2.950     12/15/22        2,100         1,997,820   

Calpine Corp., Sr. Sec’d. Notes, 144A

     7.500     02/15/21 (d)      1,554         1,697,745   

Commonwealth Edison Co., First Mortgage Bonds

     6.450     01/15/38        690         877,136   

Covanta Holding Corp., Sr. Unsec’d. Notes

     7.250     12/01/20 (d)      6,000         6,525,000   

Dominion Gas Holdings LLC, Sr. Unsec’d. Notes, 144A

     4.800     11/01/43        250         251,003   

Duke Energy Carolinas LLC, First Mortgage Bonds

     4.250     12/15/41 (d)      1,000         989,623   

Duke Energy Carolinas LLC, First Ref. Mortgage

     4.000     09/30/42 (d)      1,025         965,861   

El Paso Electric Co., Sr. Unsec’d. Notes

     6.000     05/15/35        750         809,016   

Energy East Corp. (Spain), Gtd. Notes

     6.750     09/15/33        15         16,517   

Entergy Arkansas, Inc., First Mortgage

     3.050     06/01/23        1,200         1,158,648   

Entergy Corp., Sr. Unsec’d. Notes

     4.700     01/15/17        2,475         2,661,395   

Exelon Corp., Sr. Unsec’d. Notes

     4.900     06/15/15        125         131,608   

Exelon Generation Co. LLC, Sr. Unsec’d. Notes

     6.200     10/01/17 (d)      750         848,296   

Exelon Generation Co. LLC, Sr. Unsec’d. Notes

     6.250     10/01/39 (d)      800         828,710   


                           

FirstEnergy Corp., Sr. Unsec’d. Notes

     7.375     11/15/31        2,310         2,633,668   

Georgia Power Co., Sr. Unsec’d. Notes

     4.750     09/01/40        1,050         1,058,827   

Nevada Power Co., General Ref. Mortgage

     5.375     09/15/40        500         565,422   

NRG Energy, Inc., Gtd. Notes

     6.625     03/15/23 (d)      5,250         5,361,563   

Oncor Electric Delivery Co. LLC, Sr. Sec’d. Notes

     6.800     09/01/18        545         648,069   

Pacific Gas & Electric Co., Sr. Unsec’d. Notes

     4.450     04/15/42        1,800         1,737,052   

PacifiCorp, First Mortgage Bonds

     4.100     02/01/42 (d)      790         757,704   

Progress Energy, Inc., Sr. Unsec’d. Notes

     3.150     04/01/22 (d)      4,000         3,910,820   

Public Service Electric & Gas Co., Sec’d. Notes, MTN

     3.800     01/01/43 (d)      1,950         1,773,238   

Puget Sound Energy, Inc., Sr. Sec’d. Notes

     4.434     11/15/41 (d)      2,550         2,553,868   

Southern Power Co., Sr. Unsec’d. Notes

     5.150     09/15/41        725         751,776   

TransAlta Corp. (Canada), Sr. Unsec’d. Notes

     6.650     05/15/18        725         829,306   
         

 

 

 
            50,261,691   
         

 

 

 

Energy - Integrated — 1.0%

         

BP Capital Markets PLC (United Kingdom), Gtd. Notes

     3.561     11/01/21 (d)      1,615         1,650,648   

BP Capital Markets PLC (United Kingdom), Gtd. Notes

     4.500     10/01/20        435         477,205   

Cenovus Energy, Inc. (Canada), Sr. Unsec’d. Notes

     6.750     11/15/39        2,950         3,617,104   

Lukoil International Finance BV (Russia), Gtd. Notes, 144A

     7.250     11/05/19        1,375         1,564,063   

Pacific Rubiales Energy Corp. (Colombia), Gtd. Notes, RegS

     5.375     01/26/19        500         502,500   

Pacific Rubiales Energy Corp. (Colombia), Gtd. Notes, 144A

     5.375     01/26/19        3,640         3,658,200   

Pacific Rubiales Energy Corp. (Colombia), Gtd. Notes, 144A

     7.250     12/12/21 (d)      4,000         4,200,000   

Reliance Holdings USA, Inc. (India), Gtd. Notes, RegS

     5.400     02/14/22        1,500         1,547,667   

Reliance Holdings USA, Inc. (India), Gtd. Notes, 144A

     5.400     02/14/22        4,528         4,671,891   

Rosneft Finance SA (Russia), Gtd. Notes, 144A

     6.625     03/20/17        1,100         1,203,125   

Sasol Financing International PLC (South Africa), Gtd. Notes

     4.500     11/14/22        5,900         5,486,410   
         

 

 

 
            28,578,813   
         

 

 

 

Energy - Other — 2.0%

         

Afren PLC (United Kingdom), Sr. Sec’d. Notes, RegS

     10.250     04/08/19        900         1,033,650   

Afren PLC (United Kingdom), Sr. Sec’d. Notes, RegS

     11.500     02/01/16        1,400         1,603,000   

Anadarko Petroleum Corp., Sr. Unsec’d. Notes

     6.375     09/15/17        7,890         9,062,722   

Anadarko Petroleum Corp., Sr. Unsec’d. Notes

     6.450     09/15/36        2,150         2,513,000   

Anadarko Petroleum Corp., Sr. Unsec’d. Notes

     6.950     06/15/19        175         210,366   

Anadarko Petroleum Corp., Sr. Unsec’d. Notes

     7.936 %(g)      10/10/36        5,000         1,825,055   

Anadarko Petroleum Corp., Sr. Unsec’d. Notes

     7.950     06/15/39        1,600         2,186,397   

Cameron International Corp., Sr. Unsec’d. Notes

     5.950     06/01/41        2,775         3,109,787   

Halliburton Co., Sr. Unsec’d. Notes

     4.500     11/15/41        485         479,351   

Halliburton Co., Sr. Unsec’d. Notes

     4.750     08/01/43        795         810,891   

Kerr-McGee Corp., Gtd. Notes

     6.950     07/01/24        1,060         1,276,217   

Nabors Industries, Inc., Gtd. Notes

     4.625     09/15/21        4,450         4,561,508   

Noble Energy, Inc., Sr. Unsec’d. Notes

     4.150     12/15/21 (d)      7,450         7,824,072   

Noble Energy, Inc., Sr. Unsec’d. Notes

     5.250     11/15/43        360         366,297   

Noble Energy, Inc., Sr. Unsec’d. Notes

     6.000     03/01/41        1,272         1,428,063   

Phillips 66, Gtd. Notes

     2.950     05/01/17        795         831,551   

Pioneer Natural Resources Co., Sr. Unsec’d. Notes

     6.650     03/15/17        1,300         1,495,007   

Pioneer Natural Resources Co., Sr. Unsec’d. Notes

     6.875     05/01/18        700         826,225   

Pioneer Natural Resources Co., Sr. Unsec’d. Notes

     7.500     01/15/20        4,750         5,895,030   

Precision Drilling Corp. (Canada), Gtd. Notes

     6.625     11/15/20        1,000         1,062,500   

Transocean, Inc., Gtd. Notes

     2.500     10/15/17        1,775         1,800,702   

Weatherford International Ltd., Gtd. Notes

     5.125     09/15/20 (d)      525         568,927   

Weatherford International Ltd., Gtd. Notes

     5.950     04/15/42 (d)      5,020         5,140,841   
         

 

 

 
            55,911,159   
         

 

 

 


                           

Food — 1.4%

         

Anheuser-Busch InBev Worldwide, Inc. (Belgium), Gtd. Notes(e)

     8.000     11/15/39        1,880         2,799,700   

Anheuser-Busch InBev Worldwide, Inc. (Belgium), Gtd. Notes

     8.200     01/15/39        450         682,223   

ARAMARK Corp., Gtd. Notes, 144A

     5.750     03/15/20        3,200         3,320,000   

BRF SA (Brazil), Sr. Unsec’d. Notes, 144A

     3.950     05/22/23        925         786,250   

Coca-Cola Icecek A/S (Turkey), Sr. Unsec’d. Notes, 144A

     4.750     10/01/18 (d)      1,275         1,289,025   

Darling International, Inc., Gtd. Notes

     8.500     12/15/18        6,355         7,054,050   

Embotelladora Andina SA (Chile), Sr. Unsec’d. Notes, 144A

     5.000     10/01/23        1,935         1,947,285   

JBS USA LLC/JBS USA Finance, Inc. (Brazil), Gtd. Notes, 144A (original cost $2,385,675; purchased 12/07/11-12/08/11)

     7.250     06/01/21 (b)(c)(d)      2,580         2,683,200   

JBS USA LLC/JBS USA Finance, Inc. (Brazil), Gtd. Notes, 144A (original cost $492,845; purchased 01/25/12)

     8.250     02/01/20 (b)(c)      500         541,875   

Kraft Foods Group, Inc., Sr. Unsec’d. Notes

     6.125     08/23/18        495         580,160   

Kraft Foods Group, Inc., Sr. Unsec’d. Notes

     6.500     02/09/40 (d)      1,910         2,339,104   

Minerva Luxembourg SA (Brazil), Gtd. Notes, 144A

     12.250     02/10/22        2,270         2,519,700   

Sigma Alimentos SA de CV (Mexico), Gtd. Notes, RegS

     5.625     04/14/18 (d)      2,150         2,322,000   

Stater Brothers Holdings, Inc., Gtd. Notes

     7.750     04/15/15        3,220         3,232,075   

Tyson Foods, Inc., Gtd. Notes

     6.600 %(a)      04/01/16        5,005         5,582,902   
         

 

 

 
            37,679,549   
         

 

 

 

Gaming — 0.1%

         

MGM Resorts International, Gtd. Notes

     6.625     12/15/21 (d)      1,875         1,996,875   

Pinnacle Entertainment, Inc., Gtd. Notes

     7.500     04/15/21        1,030         1,116,263   
         

 

 

 
            3,113,138   
         

 

 

 

Healthcare & Pharmaceutical — 1.8%

         

Actavis, Inc., Sr. Unsec’d. Notes

     4.625     10/01/42        1,200         1,136,315   

Amgen, Inc., Sr. Unsec’d. Notes

     5.150     11/15/41        3,005         3,087,770   

Amgen, Inc., Sr. Unsec’d. Notes

     5.375     05/15/43        2,985         3,181,120   

AstraZeneca PLC (United Kingdom), Sr. Unsec’d. Notes

     4.000     09/18/42        1,375         1,264,071   

CHS/Community Health Systems, Inc., Gtd. Notes

     8.000     11/15/19        1,627         1,785,633   

CHS/Community Health Systems, Inc., Sr. Sec’d. Notes

     5.125     08/15/18 (d)      2,600         2,746,250   

HCA, Inc., Gtd. Notes

     8.000     10/01/18        4,925         5,836,125   

Laboratory Corp. of America Holdings, Sr. Unsec’d. Notes

     3.750     08/23/22        325         322,278   

Life Technologies Corp., Sr. Unsec’d. Notes

     4.400     03/01/15        2,700         2,805,341   

LifePoint Hospitals, Inc., Gtd. Notes

     6.625     10/01/20        2,055         2,209,125   

Merck & Co, Inc., Sr. Unsec’d. Notes

     4.150     05/18/43 (d)      5,525         5,277,430   

Mylan, Inc., Gtd. Notes, 144A

     2.600     06/24/18        2,800         2,850,476   

Mylan, Inc., Gtd. Notes, 144A

     6.000     11/15/18        1,450         1,542,436   

Pfizer, Inc., Sr. Unsec’d. Notes

     4.300     06/15/43        2,275         2,221,428   

Roche Holdings, Inc. (Switzerland), Gtd. Notes, 144A

     7.000     03/01/39 (d)      1,500         2,059,053   

Teva Pharmaceutical Finance Co. BV (Israel), Gtd. Notes

     2.950     12/18/22        525         485,436   

Teva Pharmaceutical Finance IV BV (Israel), Gtd. Notes

     3.650     11/10/21        3,110         3,092,037   

Valeant Pharmaceuticals International, Gtd. Notes, 144A

     6.750     08/15/18 (d)      3,300         3,617,625   

Zoetis, Inc., Sr. Unsec’d. Notes

     4.700     02/01/43        4,505         4,438,957   
         

 

 

 
            49,958,906   
         

 

 

 

Healthcare Insurance — 0.9%

         

Aetna, Inc., Sr. Unsec’d. Notes

     4.125     11/15/42        1,775         1,626,802   

Aetna, Inc., Sr. Unsec’d. Notes

     4.500     05/15/42 (d)      1,150         1,122,219   

Aetna, Inc., Sr. Unsec’d. Notes

     6.750     12/15/37        1,825         2,319,827   

Cigna Corp., Sr. Unsec’d. Notes

     5.375     03/15/17        965         1,074,170   

Cigna Corp., Sr. Unsec’d. Notes(e)

     5.375     02/15/42        2,225         2,432,219   

Cigna Corp., Sr. Unsec’d. Notes

     5.875     03/15/41        905         1,046,442   

Coventry Health Care, Inc., Sr. Unsec’d. Notes

     5.450     06/15/21        500         568,473   

Coventry Health Care, Inc., Sr. Unsec’d. Notes

     5.950     03/15/17        1,775         2,012,429   


                           

Coventry Health Care, Inc., Sr. Unsec’d. Notes

     6.125     01/15/15        2,100         2,209,103   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes

     3.950     10/15/42        625         560,226   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes

     4.375     03/15/42        3,380         3,253,297   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes

     4.625     11/15/41        1,725         1,711,792   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes

     5.700     10/15/40        185         211,907   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes

     5.800     03/15/36        130         149,250   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes

     5.950     02/15/41        490         579,471   

UnitedHealth Group, Inc., Sr. Unsec’d. Notes

     6.625     11/15/37        475         598,344   

WellPoint, Inc., Sr. Unsec’d. Notes

     4.625     05/15/42        660         626,139   

WellPoint, Inc., Sr. Unsec’d. Notes

     4.650     01/15/43        3,025         2,897,732   
         

 

 

 
            24,999,842   
         

 

 

 

Insurance — 3.1%

         

Allied World Assurance Co. Ltd., Gtd. Notes

     5.500     11/15/20        240         269,701   

Allied World Assurance Co. Ltd., Gtd. Notes

     7.500     08/01/16        890         1,020,928   

Allstate Corp. (The), Sr. Unsec’d. Notes

     4.500     06/15/43        450         442,477   

American International Group, Inc., Sr. Unsec’d. Notes

     4.875     06/01/22 (d)      280         304,712   

American International Group, Inc., Sr. Unsec’d. Notes

     5.050     10/01/15        200         213,813   

American International Group, Inc., Sr. Unsec’d. Notes(e)

     6.400     12/15/20        9,785         11,642,183   

American International Group, Inc., Sr. Unsec’d. Notes(e)

     8.250     08/15/18        850         1,067,674   

American International Group, Inc., Sr. Unsec’d. Notes, MTN

     5.450     05/18/17        3,330         3,719,240   

American International Group, Inc., Sr. Unsec’d. Notes, MTN

     5.850     01/16/18        4,560         5,246,175   

Berkshire Hathaway, Inc., Sr. Unsec’d. Notes

     4.500     02/11/43 (d)      4,290         4,086,907   

Chubb Corp. (The), Jr. Sub. Notes

     6.375 %(a)      03/29/67 (d)      650         716,625   

Endurance Specialty Holdings Ltd., Sr. Unsec’d. Notes

     7.000     07/15/34        525         588,070   

Hartford Financial Services Group, Inc., Sr. Unsec’d. Notes

     4.300     04/15/43        480         436,600   

Hartford Financial Services Group, Inc., Sr. Unsec’d. Notes

     5.125     04/15/22        1,200         1,322,916   

Hartford Financial Services Group, Inc., Sr. Unsec’d. Notes

     5.950     10/15/36        755         863,461   

Hartford Financial Services Group, Inc., Sr. Unsec’d. Notes

     6.100     10/01/41        995         1,172,332   

Liberty Mutual Group, Inc., Gtd. Notes, 144A

     4.950     05/01/22        1,325         1,403,394   

Liberty Mutual Group, Inc., Gtd. Notes, 144A

     5.000     06/01/21        350         375,549   

Liberty Mutual Group, Inc., Gtd. Notes, 144A

     6.500     05/01/42        2,575         2,952,292   

Liberty Mutual Group, Inc., Sr. Unsec’d. Notes, 144A

     6.500     03/15/35        1,190         1,344,837   

Lincoln National Corp., Jr. Sub. Notes

     6.050 %(a)      04/20/67        940         925,900   

Lincoln National Corp., Sr. Unsec’d. Notes

     4.200     03/15/22        865         900,225   

Lincoln National Corp., Sr. Unsec’d. Notes

     6.300     10/09/37        600         717,452   

Lincoln National Corp., Sr. Unsec’d. Notes

     7.000     06/15/40        4,750         6,137,684   

Lincoln National Corp., Sr. Unsec’d. Notes

     8.750     07/01/19        800         1,037,830   

Markel Corp., Sr. Unsec’d. Notes

     4.900     07/01/22        2,750         2,927,980   

Markel Corp., Sr. Unsec’d. Notes

     5.000     03/30/43        300         294,377   

Markel Corp., Sr. Unsec’d. Notes

     7.125     09/30/19        6,680         8,030,696   

Massachusetts Mutual Life Insurance Co., Sub. Notes, 144A

     5.375     12/01/41 (d)      1,645         1,782,869   

Massachusetts Mutual Life Insurance Co., Sub. Notes, 144A

     8.875     06/01/39        550         822,880   

MetLife Capital Trust IV, Jr. Sub. Notes, 144A

     7.875     12/15/37        759         874,748   

MetLife, Inc., Sr. Unsec’d. Notes

     4.125     08/13/42 (d)      1,050         944,400   

MetLife, Inc., Sr. Unsec’d. Notes

     4.875     11/13/43        1,525         1,527,495   

MetLife, Inc., Sr. Unsec’d. Notes

     7.717     02/15/19        2,750         3,440,591   

Nippon Life Insurance Co. (Japan), Sub. Notes, 144A

     5.000 %(a)      10/18/42        1,525         1,599,344   

Northwestern Mutual Life Insurance Co. (The), Sub. Notes, 144A

     6.063     03/30/40        190         221,617   

Ohio National Financial Services, Inc., Sr. Notes, 144A

     6.375     04/30/20        360         403,746   

Principal Financial Group, Inc., Gtd. Notes

     4.350     05/15/43        3,100         2,870,609   

Principal Financial Group, Inc., Gtd. Notes

     4.625     09/15/42        275         266,955   

Progressive Corp. (The), Jr. Sub. Notes

     6.700 %(a)      06/15/37        365         395,113   


                           

Swiss Re Treasury US Corp., Gtd. Notes, 144A

     4.250     12/06/42        5,235         4,697,528   

Teachers Insurance & Annuity Association of America, Sub. Notes, 144A

     6.850     12/16/39        830         1,065,205   

Unum Group, Sr. Unsec’d. Notes

     5.625     09/15/20        225         251,071   

W.R. Berkley Corp., Sr. Unsec’d. Notes

     4.625     03/15/22        2,675         2,801,865   

W.R. Berkley Corp., Sr. Unsec’d. Notes

     5.375     09/15/20        2,235         2,479,411   

Willis Group Holdings PLC, Gtd. Notes

     4.125     03/15/16        630         663,427   

XL Group PLC (Ireland), Jr. Sub. Notes

     6.500 %(a)      12/31/49        260         254,800   

XL Group PLC (Ireland), Sr. Unsec’d. Notes

     5.250     09/15/14        25         25,691   
         

 

 

 
            87,551,395   
         

 

 

 

Lodging — 1.0%

         

Carnival Corp., Gtd. Notes

     1.200     02/05/16        3,025         3,036,371   

Marriott International, Inc., Sr. Unsec’d. Notes

     3.000     03/01/19        5,055         5,172,286   

Starwood Hotels & Resorts Worldwide, Inc., Sr. Unsec’d. Notes

     7.150     12/01/19        4,840         5,837,456   

Wyndham Worldwide Corp., Sr. Unsec’d. Notes

     2.500     03/01/18        1,375         1,391,899   

Wyndham Worldwide Corp., Sr. Unsec’d. Notes

     2.950     03/01/17        5,370         5,504,669   

Wyndham Worldwide Corp., Sr. Unsec’d. Notes

     4.250     03/01/22        5,015         5,059,699   

Wyndham Worldwide Corp., Sr. Unsec’d. Notes

     5.625     03/01/21        980         1,069,925   
         

 

 

 
            27,072,305   
         

 

 

 

Media & Entertainment — 1.6%

         

21st Century Fox America, Inc., Gtd. Notes

     6.150     03/01/37        2,325         2,635,281   

21st Century Fox America, Inc., Gtd. Notes

     6.150     02/15/41        2,445         2,801,909   

AMC Entertainment, Inc., Gtd. Notes

     9.750     12/01/20        5,716         6,559,110   

British Sky Broadcasting Group PLC (United Kingdom), Gtd. Notes, 144A

     6.100     02/15/18        90         103,208   

CBS Corp., Gtd. Notes (original cost $1,927,731; purchased 06/11/12)

     1.950     07/01/17 (b)(c)      1,950         1,970,561   

CBS Corp., Gtd. Notes (original cost $1,917,333; purchased 02/10/12)

     5.900     10/15/40 (b)(c)(d)      1,660         1,790,278   

CBS Corp., Gtd. Notes (original cost $2,855,819; purchased 08/29/12)

     8.875     05/15/19 (b)(c)      2,128         2,748,742   

Clear Channel Worldwide Holdings, Inc., Gtd. Notes

     6.500     11/15/22 (d)      803         821,068   

Clear Channel Worldwide Holdings, Inc., Gtd. Notes

     6.500     11/15/22        2,172         2,231,730   

Historic TW, Inc., Gtd. Notes

     6.625     05/15/29        1,198         1,434,758   

Liberty Interactive LLC, Sr. Unsec’d. Notes

     8.250     02/01/30        5,000         5,287,500   

Myriad International Holdings BV (South Africa), Gtd. Notes, 144A

     6.000     07/18/20        2,025         2,126,250   

News America, Inc., Gtd. Notes

     6.900     08/15/39        160         196,003   

News America, Inc., Gtd. Notes

     7.625     11/30/28        550         698,743   

RR Donnelley & Sons Co., Sr. Unsec’d. Notes

     8.600     08/15/16        1,800         2,074,500   

SSI Investments II Ltd./SSI Co.-Issuer LLC, Gtd. Notes

     11.125     06/01/18        3,600         3,888,000   

Time Warner, Inc., Gtd. Notes

     6.200     03/15/40 (d)      2,600         2,963,233   

Viacom, Inc., Sr. Unsec’d. Notes

     4.375     09/15/14        315         322,320   

Viacom, Inc., Sr. Unsec’d. Notes

     4.500     02/27/42 (d)      1,851         1,654,740   

Viacom, Inc., Sr. Unsec’d. Notes

     5.850     09/01/43        1,150         1,253,310   
         

 

 

 
            43,561,244   
         

 

 

 

Metals — 1.2%

         

ArcelorMittal (Luxembourg), Sr. Unsec’d. Notes

     4.250 %(a)      08/05/15 (d)      3,100         3,193,000   

ArcelorMittal (Luxembourg), Sr. Unsec’d. Notes

     6.125     06/01/18        3,300         3,588,750   

Berau Capital Resources, Sr. Sec’d. Notes, RegS

     12.500     07/08/15        3,760         3,957,400   

FMG Resources (August 2006) Pty Ltd. (Australia), Gtd. Notes, 144A

     6.000     04/01/17 (d)      2,500         2,643,750   

Newmont Mining Corp., Gtd. Notes

     6.250     10/01/39        85         78,636   

Peabody Energy Corp., Gtd. Notes

     6.000     11/15/18 (d)      3,625         3,860,625   


Raspadskaya OJSC via Raspadskaya Securities Ltd. (Russia), Sr. Unsec’d. Notes, 144A

     7.750     04/27/17        580         587,250   

Southern Copper Corp., Sr. Unsec’d. Notes

     6.750     04/16/40        1,400         1,350,888   

Southern Copper Corp., Sr. Unsec’d. Notes

     7.500     07/27/35        2,055         2,130,053   

Teck Resources Ltd. (Canada), Gtd. Notes

     6.250     07/15/41        615         631,002   

Vedanta Resources PLC (India), Sr. Unsec’d. Notes, 144A

     6.000     01/31/19        2,800         2,653,000   

Xstrata Finance Canada Ltd. (Canada), Gtd. Notes, 144A

     2.050     10/23/15        3,975         4,021,372   

Xstrata Finance Canada Ltd. (Canada), Gtd. Notes, 144A

     2.700     10/25/17        4,200         4,251,979   

Xstrata Finance Canada Ltd. (Canada), Gtd. Notes, 144A

     2.850     11/10/14        1,375         1,393,653   
         

 

 

 
            34,341,358   
         

 

 

 

Non-Captive Finance — 1.7%

         

CIT Group, Inc., Sr. Unsec’d. Notes

     5.000     05/15/17        2,500         2,662,500   

CIT Group, Inc., Sr. Unsec’d. Notes

     5.000     08/15/22        3,650         3,631,750   

CIT Group, Inc., Sr. Unsec’d. Notes, 144A

     5.500     02/15/19        11,000         11,715,000   

General Electric Capital Corp., Sr. Unsec’d. Notes, MTN

     5.875     01/14/38 (d)      5,314         6,126,553   

General Electric Capital Corp., Sr. Unsec’d. Notes, MTN

     6.875     01/10/39        4,160         5,324,941   

General Electric Capital Corp., Sub. Notes(e)

     5.300     02/11/21        545         613,291   

HSBC Finance Capital Trust IX (United Kingdom), Gtd. Notes

     5.911 %(a)      11/30/35        900         929,250   

HSBC Finance Corp., Sub. Notes

     6.676     01/15/21        145         168,743   

International Lease Finance Corp., Sr. Sec’d. Notes, 144A

     6.500     09/01/14        1,275         1,313,250   

International Lease Finance Corp., Sr. Unsec’d. Notes

     5.750     05/15/16        575         615,969   

International Lease Finance Corp., Sr. Unsec’d. Notes

     6.250     05/15/19 (d)      700         759,500   

Nelnet, Inc., Jr. Sub. Notes

     3.622 %(a)      09/29/36        1,750         1,295,000   

Preferred Term Securities X Ltd./Preferred Term Securities X, Inc. (Cayman Islands), Sr. Sec’d. Notes, 144A

     0.966 %(a)      07/03/33 (b)      265         220,935   

Schahin II Finance Co. SPV Ltd. (Brazil), Sr. Sec’d. Notes, 144A

     5.875     09/25/22        2,826         2,684,795   

SLM Corp., Sr. Unsec’d. Notes, MTN

     3.875     09/10/15        1,750         1,802,500   

SLM Corp., Sr. Unsec’d. Notes, MTN

     5.000     04/15/15 (d)      1,800         1,876,500   

SLM Corp., Sr. Unsec’d. Notes, MTN

     5.050     11/14/14        1,450         1,489,875   

SLM Corp., Sr. Unsec’d. Notes, MTN

     6.000     01/25/17        650         704,470   

SLM Corp., Sr. Unsec’d. Notes, MTN

     6.250     01/25/16        630         677,250   

Trust F/1401 (Mexico), Sr. Unsec’d. Notes, 144A

     5.250     12/15/24 (d)      2,125         2,109,063   
         

 

 

 
            46,721,135   
         

 

 

 

Packaging — 0.1%

         

Ball Corp., Gtd. Notes

     6.750     09/15/20 (d)      1,200         1,305,000   

Greif Luxembourg Finance, Notes, MTN, 144A

     7.375     07/15/21      EUR 730         1,159,316   

Greif, Inc., Sr. Unsec’d. Notes

     7.750     08/01/19        1,225         1,384,250   
         

 

 

 
            3,848,566   
         

 

 

 

Paper — 0.8%

         

Georgia-Pacific LLC, Sr. Unsec’d. Notes (original cost $5,036,312; purchased 12/20/12)

     7.375     12/01/25 (b)(c)      3,697         4,695,889   

International Paper Co., Sr. Unsec’d. Notes

     6.000     11/15/41        2,290         2,601,145   

International Paper Co., Sr. Unsec’d. Notes

     7.300     11/15/39        1,075         1,389,003   

International Paper Co., Sr. Unsec’d. Notes

     7.950     06/15/18        4,230         5,218,784   

International Paper Co., Sr. Unsec’d. Notes

     9.375     05/15/19        2,225         2,935,827   

MeadWestvaco Corp., Sr. Unsec’d. Notes

     7.375     09/01/19        1,650         1,994,607   

Rock-Tenn Co., Gtd. Notes

     4.450     03/01/19        1,140         1,224,068   

Rock-Tenn Co., Gtd. Notes

     4.900     03/01/22        1,700         1,814,798   
         

 

 

 
            21,874,121   
         

 

 

 

Pipelines & Other — 1.4%

         

AGL Capital Corp., Gtd. Notes

     4.400     06/01/43        2,700         2,561,725   


AmeriGas Finance LLC/AmeriGas Finance Corp., Gtd. Notes

     7.000     05/20/22        2,480         2,697,000   

CenterPoint Energy Resources Corp., Sr. Unsec’d. Notes

     5.850     01/15/41        1,130         1,342,132   

El Paso Pipeline Partners Operating Co. LLC, Gtd. Notes

     6.500     04/01/20        2,009         2,323,591   

Energy Transfer Partners LP, Sr. Unsec’d. Notes

     4.650     06/01/21        510         533,283   

Enterprise Products Operating LLC, Gtd. Notes

     4.850     08/15/42 (d)      2,900         2,841,092   

Kinder Morgan Energy Partners LP, Sr. Unsec’d. Notes

     5.000     08/15/42 (d)      5,000         4,680,165   

Kinder Morgan Energy Partners LP, Sr. Unsec’d. Notes

     5.000     03/01/43 (d)      2,275         2,140,893   

Kinder Morgan Energy Partners LP, Sr. Unsec’d. Notes

     7.300     08/15/33        1,170         1,403,713   

Magellan Midstream Partners LP, Sr. Unsec’d. Notes

     4.200     12/01/42        1,600         1,413,560   

Magellan Midstream Partners LP, Sr. Unsec’d. Notes

     4.250     02/01/21        5,500         5,874,803   

NiSource Finance Corp., Gtd. Notes

     4.800     02/15/44        1,725         1,649,931   

NiSource Finance Corp., Gtd. Notes

     5.450     09/15/20        355         403,678   

ONEOK Partners LP, Gtd. Notes

     2.000     10/01/17        1,250         1,247,325   

Sempra Energy, Sr. Unsec’d. Notes

     2.300     04/01/17        2,060         2,118,290   

Sempra Energy, Sr. Unsec’d. Notes

     6.500     06/01/16        750         843,523   

Sunoco Logistics Partners Operations LP, Gtd. Notes

     4.950     01/15/43        1,950         1,807,677   

Transcontinental Gas Pipe Line Co. LLC, Sr. Unsec’d. Notes

     4.450     08/01/42        1,500         1,385,223   

Western Gas Partners LP, Sr. Unsec’d. Notes

     4.000     07/01/22        700         688,559   

Williams Partners LP, Sr. Unsec’d. Notes

     4.000     11/15/21        1,475         1,493,072   
         

 

 

 
            39,449,235   
         

 

 

 

Railroads — 0.4%

         

Burlington Northern Santa Fe LLC, Sr. Unsec’d. Notes

     4.375     09/01/42 (d)      3,425         3,212,951   

CSX Corp., Sr. Unsec’d. Notes

     4.100     03/15/44        892         795,134   

Norfolk Southern Railway Co., Sr. Unsec’d. Notes

     9.750     06/15/20        3,700         5,107,891   

Union Pacific Corp., Sr. Unsec’d. Notes

     6.250     05/01/34        1,800         2,123,957   
         

 

 

 
            11,239,933   
         

 

 

 

Real Estate Investment Trusts — 0.8%

         

Aviv Healthcare Properties LP/Aviv Healthcare Capital Corp., Gtd. Notes

     7.750     02/15/19 (d)      4,000         4,300,000   

Digital Realty Trust LP, Gtd. Notes

     4.500     07/15/15 (d)      4,700         4,887,455   

Hospitality Properties Trust, Sr. Unsec’d. Notes

     7.875     08/15/14        1,100         1,102,190   

Mack-Cali Realty LP, Sr. Unsec’d. Notes

     2.500     12/15/17        1,225         1,224,521   

Realty Income Corp., Sr. Unsec’d. Notes

     5.500     11/15/15        1,830         1,971,012   

Simon Property Group LP, Sr. Unsec’d. Notes

     2.800     01/30/17 (d)      245         255,386   

Simon Property Group LP, Sr. Unsec’d. Notes

     3.375     03/15/22        350         349,480   

Simon Property Group LP, Sr. Unsec’d. Notes

     4.200     02/01/15        260         266,893   

Simon Property Group LP, Sr. Unsec’d. Notes

     6.750     05/15/14        340         340,513   

Simon Property Group LP, Sr. Unsec’d. Notes

     10.350     04/01/19        600         817,288   

Simon Property Group LP, Sr. Unsec’d. Notes, 144A

     1.500     02/01/18        6,250         6,171,800   

WEA Finance LLC/WT Finance Aust Pty Ltd. (Australia), Gtd. Notes, 144A

     5.750     09/02/15        1,450         1,558,633   
         

 

 

 
            23,245,171   
         

 

 

 

Retailers — 0.8%

         

CVS Caremark Corp., Sr. Unsec’d. Notes

     5.300     12/05/43        800         859,372   

CVS Caremark Corp., Sr. Unsec’d. Notes

     6.250     06/01/27        1,572         1,904,288   

Dufry Finance SCA (Switzerland), Gtd. Notes, 144A

     5.500     10/15/20        2,150         2,209,125   

Home Depot, Inc. (The), Sr. Unsec’d. Notes

     4.200     04/01/43 (d)      2,525         2,408,812   

L Brands, Inc., Gtd. Notes

     5.625     02/15/22        6,325         6,419,875   

Lowe’s Cos., Inc., Sr. Unsec’d. Notes

     4.650     04/15/42        1,250         1,245,231   

Macy’s Retail Holdings, Inc., Gtd. Notes

     3.875     01/15/22        475         484,175   

Picard Groupe SA (France), Sr. Sec’d. Notes, 144A

     4.480 %(a)      08/01/19      EUR   3,275         4,494,522   

Target Corp., Sr. Unsec’d. Notes

     7.000     01/15/38        536         693,248   


Wal-Mart Stores, Inc., Sr. Unsec’d. Notes

     5.625     04/15/41        525         613,045   
         

 

 

 
            21,331,693   
         

 

 

 

Technology — 1.2%

         

Amphenol Corp., Sr. Unsec’d. Notes

     4.750     11/15/14        950         980,239   

Arrow Electronics, Inc., Sr. Unsec’d. Notes

     3.375     11/01/15        275         285,212   

Avaya, Inc., Sec’d. Notes, 144A

     10.500     03/01/21 (d)      3,050         2,821,250   

CDW LLC/CDW Finance Corp., Gtd. Notes

     12.535     10/12/17        1,136         1,189,960   

CommScope, Inc., Gtd. Notes, 144A

     8.250     01/15/19        2,704         2,937,220   

Fidelity National Information Services, Inc., Gtd. Notes

     7.875     07/15/20        3,300         3,581,365   

Fiserv, Inc., Gtd. Notes

     3.125     10/01/15        150         155,447   

Hewlett-Packard Co., Sr. Unsec’d. Notes

     3.300     12/09/16        1,930         2,035,781   

Interactive Data Corp., Gtd. Notes

     10.250     08/01/18        1,800         1,958,625   

Jabil Circuit, Inc., Sr. Unsec’d. Notes

     4.700     09/15/22 (d)      2,900         2,780,375   

Jabil Circuit, Inc., Sr. Unsec’d. Notes

     5.625     12/15/20        4,700         4,888,000   

NXP BV/NXP Funding LLC (Netherlands), Gtd. Notes, 144A

     3.750     06/01/18        2,775         2,775,000   

Seagate HDD Cayman, Gtd. Notes

     6.875     05/01/20        1,050         1,131,375   

Seagate Technology HDD Holdings, Gtd. Notes

     6.800     10/01/16        330         371,250   

SunGard Data Systems, Inc., Gtd. Notes

     7.625     11/15/20 (d)      1,150         1,263,563   

TransUnion LLC/TransUnion Financing Corp., Gtd. Notes

     11.375     06/15/18        2,500         2,709,375   

Xerox Corp., Sr. Unsec’d. Notes

     2.950     03/15/17 (d)      1,100         1,136,397   

Xerox Corp., Sr. Unsec’d. Notes

     4.250     02/15/15        1,050         1,086,237   

Xerox Corp., Sr. Unsec’d. Notes

     8.250     05/15/14        540         550,973   
         

 

 

 
            34,637,644   
         

 

 

 

Telecommunications — 2.9%

         

AT&T, Inc., Sr. Unsec’d. Notes

     4.300     12/15/42 (d)      910         785,318   

AT&T, Inc., Sr. Unsec’d. Notes

     5.350     09/01/40        3,700         3,702,927   

Bharti Airtel International Netherlands BV (India), Gtd. Notes, 144A

     5.125     03/11/23 (d)      3,025         2,801,906   

Cellco Partnership/Verizon Wireless Capital LLC, Sr. Unsec’d. Notes

     8.500     11/15/18        470         601,435   

CenturyLink, Inc., Sr. Unsec’d. Notes

     7.600     09/15/39        1,710         1,521,900   

Digicel Group Ltd. (Jamaica), Sr. Unsec’d. Notes, 144A

     8.250     09/30/20        2,450         2,548,000   

Digicel Group Ltd. (Jamaica), Sr. Unsec’d. Notes, 144A

     10.500     04/15/18        3,035         3,226,205   

Eileme 2 AB (Poland), Sr. Sec’d. Notes, RegS

     11.750     01/31/20      EUR 2,150         3,479,668   

Eileme 2 AB (Poland), Sr. Sec’d. Notes, 144A

     11.625     01/31/20        1,400         1,664,250   

Embarq Corp., Sr. Unsec’d. Notes (original cost $3,266,830; purchased 05/04/11-05/11/11)

     7.082     06/01/16 (b)(c)      2,890         3,259,596   

Embarq Corp., Sr. Unsec’d. Notes (original cost $2,040,482; purchased 08/17/12)

     7.995     06/01/36 (b)(c)      1,890         1,962,251   

Indosat Palapa Co. BV (Indonesia), Gtd. Notes, RegS

     7.375     07/29/20 (d)      3,500         3,797,500   

Orange SA (France), Sr. Unsec’d. Notes

     5.500     02/06/44        825         839,562   

Qwest Corp., Sr. Unsec’d. Notes

     7.500     10/01/14        1,610         1,676,421   

SoftBank Corp. (Japan), Gtd. Notes, 144A

     4.500     04/15/20 (d)      2,500         2,459,375   

Sprint Capital Corp., Gtd. Notes

     6.900     05/01/19        5,000         5,400,000   

Sprint Nextel Corp., Sr. Unsec’d. Notes

     7.000     08/15/20 (d)      3,450         3,717,375   

Verizon Communications, Inc., Sr. Unsec’d. Notes

     4.750     11/01/41        635         604,498   

Verizon Communications, Inc., Sr. Unsec’d. Notes

     6.000     04/01/41        930         1,038,370   

Verizon Communications, Inc., Sr. Unsec’d. Notes

     6.400     09/15/33        5,825         6,825,059   

Verizon Communications, Inc., Sr. Unsec’d. Notes

     6.400     02/15/38        600         694,114   

Verizon Communications, Inc., Sr. Unsec’d. Notes

     6.550     09/15/43        15,100         18,125,134   

Verizon Communications, Inc., Sr. Unsec’d. Notes

     7.350     04/01/39        1,730         2,206,871   

Vimpel Communications Via VIP Finance Ireland Ltd. OJSC (Russia), Sr. Unsec’d. Notes, 144A

     7.748     02/02/21        1,250         1,346,875   

Vimpel Communications Via VIP Finance Ireland Ltd. OJSC (Russia), Sr. Unsec’d. Notes, 144A

     9.125     04/30/18 (b)      200         229,250   


Wind Acquisition Finance SA (Italy), Sec’d. Notes, RegS

     11.750     07/15/17      EUR 1,400         1,992,043   

Wind Acquisition Finance SA (Italy), Sec’d. Notes, 144A

     11.750     07/15/17        770         812,350   

Wind Acquisition Finance SA (Italy), Sec’d. Notes, 144A

     11.750     07/15/17      EUR   1,900         2,703,486   
         

 

 

 
            80,021,739   
         

 

 

 

Tobacco — 0.8%

         

Altria Group, Inc., Gtd. Notes

     4.000     01/31/24        6,925         6,914,730   

Altria Group, Inc., Gtd. Notes

     9.950     11/10/38        1,086         1,719,880   

Altria Group, Inc., Gtd. Notes

     10.200     02/06/39        303         490,266   

Imperial Tobacco Finance PLC (United Kingdom), Gtd. Notes, 144A

     2.050     02/11/18        5,625         5,594,681   

Lorillard Tobacco Co., Gtd. Notes

     2.300     08/21/17 (d)      2,075         2,115,467   

Lorillard Tobacco Co., Gtd. Notes

     3.500     08/04/16 (d)      340         358,410   

Lorillard Tobacco Co., Gtd. Notes

     3.750     05/20/23 (d)      1,525         1,442,650   

Lorillard Tobacco Co., Gtd. Notes

     8.125     06/23/19 (d)      305         379,808   

Reynolds American, Inc., Gtd. Notes

     6.750     06/15/17        2,375         2,754,136   
         

 

 

 
            21,770,028   
         

 

 

 

TOTAL CORPORATE BONDS
(cost $1,257,805,206)

            1,274,561,284   
         

 

 

 

COVERED BONDS — 0.2%

         

Depfa ACS Bank (Ireland), Covered Notes, 144A

     5.125     03/16/37        345         294,975   

Westpac Banking Corp. (Australia), Covered Bonds, 144A

     1.850     11/26/18        6,100         6,084,128   
         

 

 

 

TOTAL COVERED BONDS
(cost $6,432,789)

            6,379,103   
         

 

 

 

FOREIGN AGENCIES — 3.1%

         

CNOOC Finance 2013 Ltd. (China), Gtd. Notes

     3.000     05/09/23 (d)      3,642         3,232,887   

Comision Federal de Electricidad (Mexico), Sr. Unsec’d. Notes, 144A

     4.875     01/15/24        2,450         2,419,375   

DP World Ltd. (United Arab Emirates), Sr. Unsec’d. Notes, RegS

     6.850     07/02/37        2,000         2,050,000   

Ecopetrol SA (Colombia), Sr. Unsec’d. Notes

     7.625     07/23/19        925         1,082,250   

Export Credit Bank of Turkey (Turkey), Sr. Unsec’d. Notes, 144A

     5.375     11/04/16        625         635,313   

Gazprom OAO Via Gaz Capital SA (Russia), Sr. Unsec’d. Notes, 144A

     4.950     05/23/16 (d)      1,600         1,701,280   

Gazprom OAO Via Gaz Capital SA (Russia), Sr. Unsec’d. Notes, 144A

     6.510     03/07/22        4,227         4,459,485   

Gazprom OAO Via Gaz Capital SA (Russia), Sr. Unsec’d. Notes, 144A

     8.625     04/28/34        1,800         2,103,750   

Gazprom OAO Via Gaz Capital SA (Russia), Sr. Unsec’d. Notes, MTN, 144A

     9.250     04/23/19        1,000         1,207,500   

KazMunayGas National Co. JSC (Kazakhstan), Sr. Unsec’d. Notes, 144A

     5.750     04/30/43        2,725         2,305,677   

KazMunayGas National Co. JSC (Kazakhstan), Sr. Unsec’d. Notes, 144A

     9.125     07/02/18        3,565         4,251,263   

KazMunayGas National Co. JSC (Kazakhstan), Sr. Unsec’d. Notes, 144A

     11.750     01/23/15        2,650         2,896,450   

Korea Development Bank (The) (South Korea), Sr. Unsec’d. Notes

     3.500     08/22/17        2,000         2,104,354   

Korea Finance Corp. (South Korea), Sr. Unsec’d. Notes

     4.625     11/16/21        1,550         1,664,982   


Korea Hydro & Nuclear Power Co. Ltd. (South Korea), Sr. Unsec’d. Notes, RegS

     4.750     07/13/21        1,000         1,077,438   

Korea Hydro & Nuclear Power Co. Ltd. (South Korea), Sr. Unsec’d. Notes, 144A

     3.000     09/19/22        1,620         1,533,933   

Korea Hydro & Nuclear Power Co. Ltd. (South Korea), Sr. Unsec’d. Notes, 144A

     4.750     07/13/21        2,125         2,289,556   

Majapahit Holding BV (Indonesia), Gtd. Notes, RegS

     7.250     06/28/17        4,945         5,402,413   

Majapahit Holding BV (Indonesia), Gtd. Notes, RegS

     7.750     10/17/16        5,945         6,509,775   

Petrobras International Finance Co. (Brazil), Gtd. Notes

     5.375     01/27/21 (d)      2,675         2,641,228   

Petroleos de Venezuela SA (Venezuela), Sr. Unsec’d. Notes

     4.900     10/28/14        7,245         6,719,738   

Petroleos Mexicanos (Mexico), Gtd. Notes

     3.500     01/30/23        2,675         2,418,866   

Petroleos Mexicanos (Mexico), Gtd. Notes

     4.875     01/24/22 (d)      1,925         1,957,931   

Petroleos Mexicanos (Mexico), Gtd. Notes

     5.500     01/21/21        4,300         4,579,500   

Petroleos Mexicanos (Mexico), Gtd. Notes

     5.500     06/27/44        6,545         5,852,434   

Petroleos Mexicanos (Mexico), Gtd. Notes

     8.000     05/03/19        2,055         2,471,138   

Petroleos Mexicanos (Mexico), Gtd. Notes, MTN

     8.250     06/02/22      GBP 500         1,031,251   

Power Sector Assets & Liabilities Management Corp. (Philippines), Gov’t. Gtd. Notes, RegS

     7.390     12/02/24        3,100         3,828,500   

State Bank of India/London (India), Sr. Unsec’d. Notes, MTN, RegS

     4.500     11/30/15      EUR   3,816         5,319,137   

VTB Bank OJSC Via VTB Capital SA (Russia), Sr. Unsec’d. Notes, 144A

     6.875     05/29/18        2,075         2,251,375   
         

 

 

 

TOTAL FOREIGN AGENCIES
(cost $89,236,029)

            87,998,779   
         

 

 

 

MUNICIPAL BONDS — 2.3%

         

California — 0.5%

         

Bay Area Toll Authority, BABs, Revenue Bonds

     6.263     04/01/49        3,755         4,809,366   

Bay Area Toll Authority, BABs, Revenue Bonds

     6.907     10/01/50        525         685,424   

California Institute of Technology, Sr. Unsec’d. Notes

     4.700     11/01/11        1,130         1,017,287   

Los Angeles Department of Water & Power, BABs, Revenue Bonds

     5.716     07/01/39        2,280         2,613,564   

State of California, BABs, Revenue Bonds

     7.600     11/01/40        920         1,296,777   

State of California, GO, BABs

     7.550     04/01/39        1,600         2,232,752   

State of California, GO, BABs

     7.625     03/01/40        275         381,062   

State of California, GO Unlimited, BABs

     7.300     10/01/39        835         1,122,825   

University of California, BABs, Revenue Bonds

     5.770     05/15/43        500         591,755   
         

 

 

 
            14,750,812   
         

 

 

 

Colorado — 0.2%

         

Regional Transportation District, BABs, Revenue Bonds, Series 2010B

     5.844     11/01/50        3,815         4,732,050   
         

 

 

 

Illinois — 0.2%

         

Chicago O’Hare International Airport, BABs, Revenue Bonds

     6.395     01/01/40        3,170         3,655,929   

State of Illinois, GO

     4.421     01/01/15        1,910         1,977,862   
         

 

 

 
            5,633,791   
         

 

 

 

New Jersey — 0.2%

         

New Jersey State Turnpike Authority, BABs, Revenue Bonds, Series 2010

     7.102     01/01/41        725         983,463   

New Jersey State Turnpike Authority, BABs, Revenue Bonds, Series F

     7.414     01/01/40        2,250         3,153,848   

Rutgers State University, BABs, Revenue Bonds

     5.665     05/01/40        1,350         1,557,779   
         

 

 

 
            5,695,090   
         

 

 

 

 


New York — 0.7%

          

Memorial Sloan-Kettering Cancer Center, Sr. Unsec’d. Notes

     4.125     07/01/52         675         587,556   

New York City Water & Sewer System, BABs, Taxable, Revenue Bonds

     5.882     06/15/44         3,300         4,013,262   

New York City Water & Sewer System, BABs, Revenue Bonds, Series EE

     5.000     06/15/47         9,250         9,656,445   

Port Authority of New York & New Jersey, Revenue Bonds

     4.458     10/01/62         1,600         1,470,416   

Utility Debt Securitization Authority, Revenue Bonds, Series TE

     5.000     12/15/41         3,400         3,663,398   
          

 

 

 
             19,391,077   
          

 

 

 

Ohio — 0.3%

          

Ohio State Turnpike Commission, BABs, Revenue Bonds, Series A-1

     5.000     02/15/48         3,900         3,975,114   

Ohio State University, Taxable, Revenue Bonds, Series A

     4.800     06/01/11         2,810         2,630,357   

Ohio State University, BABs, Revenue Bonds

     4.910     06/01/40         295         315,131   

Ohio State Water Development Authority, BABs, Revenue Bonds

     4.879     12/01/34         375         402,510   
          

 

 

 
             7,323,112   
          

 

 

 

Oregon

          

Oregon State Department of Transportation Highway, BABs, Revenue Bonds, Series A

     5.834     11/15/34         235         285,664   
          

 

 

 

Pennsylvania — 0.2%

          

Pennsylvania Turnpike Commission, BABs, Revenue Bonds

     6.105     12/01/39         400         485,424   

Pennsylvania Turnpike Commission, BABs, Revenue Bonds, Series B

     5.511     12/01/45         1,155         1,310,879   

Pennsylvania Turnpike Commission, Series C

     5.000     12/01/43         2,500         2,578,225   
          

 

 

 
             4,374,528   
          

 

 

 

Tennessee

          

Metropolitan Government of Nashville & Davidson County Convention Center Authority, BABs, Revenue Bonds

     6.731     07/01/43         550         637,428   
          

 

 

 

Texas

          

City Public Service Board of San Antonio, BABs, Taxable, Revenue Bonds

     4.427     02/01/42         980         980,186   

Texas State Transportation Commission, BABs, Revenue Bonds, Series B

     5.028     04/01/26         200         226,030   
          

 

 

 
             1,206,216   
          

 

 

 

TOTAL MUNICIPAL BONDS
(cost $62,194,986)

             64,029,768   
          

 

 

 

SOVEREIGN BONDS — 6.9%

          

Brazilian Government International Bond (Brazil), Unsec’d. Notes

     11.000     06/26/17       EUR 4,600         7,979,972   

Colombia Government International Bond (Colombia), Sr. Unsec’d. Notes

     5.625     02/26/44         1,700         1,653,250   

Hellenic Republic Government Bond (Greece), Bonds, Series PSI, RegS

     2.000     02/24/23       EUR 5,720         5,145,647   

Hellenic Republic Government Bond (Greece),
Sr. Unsec’d. Notes, Series 9BR

     5.800     07/14/15       JPY 350,000         3,237,252   

Hellenic Republic Government Bond (Greece),
Sr. Unsec’d. Notes, Series 9RG

     5.800     07/14/15       JPY 128,900         1,192,234   

Hungary Government International Bond (Hungary),
Sr. Unsec’d. Notes

     4.125     02/19/18         3,622         3,617,473   


Hungary Government International Bond (Hungary), Sr. Unsec’d. Notes

     5.750     11/22/23        1,480         1,459,650   

Hungary Government International Bond (Hungary), Sr. Unsec’d. Notes

     6.375     03/29/21        1,740         1,853,100   

Hungary Government International Bond (Hungary), Sr. Unsec’d. Notes, RegS

     6.000     01/11/19      EUR 1,795         2,638,816   

Ireland Government Bond (Ireland), Bonds

     4.400     06/18/19      EUR 12,600         19,051,499   

Italy Buoni Poliennali del Tesoro (Italy), Bonds

     6.500     11/01/27      EUR 7,610         12,788,331   

Italy Government International Bond (Italy), Sr. Unsec’d. Notes, MTN, RegS

     2.500     03/02/15      CHF 1,500         1,683,726   

Italy Government International Bond (Italy), Sr. Unsec’d. Notes, MTN, Reg S

     5.750     07/25/16      EUR 1,280         1,897,885   

Italy Government International Bond (Italy), Sr. Unsec’d. Notes, RegS

     3.450     03/24/17      JPY 285,000         2,854,695   

Italy Government International Bond (Italy), Sr. Unsec’d. Notes, RegS

     4.500     06/08/15      JPY 335,000         3,401,183   

Kingdom of Belgium (Belgium), Notes, 144A

     8.875     12/01/24        1,000         1,358,032   

Mexico Government International Bond (Mexico), Sr. Unsec’d. Notes

     2.750     04/22/23      EUR 9,700         12,544,784   

Mexico Government International Bond (Mexico), Sr. Unsec’d. Notes, MTN

     4.250     07/14/17      EUR 7,070         10,358,272   

Mexico Government International Bond (Mexico), Sr. Unsec’d. Notes, MTN

     4.750     03/08/44 (d)      3,040         2,675,200   

Mexico Government International Bond (Mexico), Sr. Unsec’d. Notes, MTN

     11.000     05/08/17      ITL   750,000         673,912   

Mexico Government International Bond (Mexico), Series G, Sr. Unsec’d. Notes, MTN

     6.750     02/06/24      GBP 500         990,038   

Panama Government International Bond (Panama), Sr. Unsec’d. Notes

     5.200     01/30/20 (d)      2,475         2,687,850   

Peru Enhanced Pass-Through Finance Ltd. (Peru), Pass-Through Certificates, RegS

     1.643 %(g)      05/31/18        2,179         2,004,869   

Peru Enhanced Pass-Through Finance Ltd. (Peru), Pass-Through Certificates, 144A

     4.841 %(g)      05/31/18        237         218,314   

Perusahaan Penerbit SBSN Indonesia (Indonesia), Sr. Unsec’d. Notes, RegS

     4.000     11/21/18        3,000         2,962,500   

Philippine Government International Bond (Philippines), Sr. Unsec’d. Notes

     6.250     03/15/16      EUR 3,426         5,000,957   

Portugal Government International Bond (Portugal), Sr. Unsec’d. Notes, RegS, MTN

     3.500     03/25/15        6,100         6,196,240   

Portugal Obrigacoes do Tesouro OT (Portugal), Sr. Unsec’d. Notes, RegS

     4.450     06/15/18      EUR 3,000         4,187,740   

Portugal Obrigacoes do Tesouro OT (Portugal), Sr. Unsec’d. Notes, RegS

     4.750     06/14/19      EUR 11,445         15,948,074   

Qatar Government International Bond (Qatar), Sr. Unsec’d. Notes, 144A

     5.750     01/20/42        2,400         2,556,000   

Republic of Brazil (Brazil), Sr. Unsec’d. Notes

     7.125     01/20/37        2,200         2,464,000   

Republic of Brazil (Brazil), Sr. Unsec’d. Notes

     8.250     01/20/34        1,280         1,600,000   

Republic of Columbia (Colombia), Sr. Unsec’d. Notes

     7.375     09/18/37 (d)      2,245         2,699,613   

Republic of Indonesia (Indonesia), Sr. Unsec’d. Notes, RegS

     4.875     05/05/21        4,000         3,945,000   

Republic of Indonesia (Indonesia), Sr. Unsec’d. Notes, RegS

     11.625     03/04/19        2,000         2,635,000   

Republic of Indonesia (Indonesia), Sr. Unsec’d. Notes, MTN, 144A

     4.625     04/15/43 (d)      1,490         1,158,475   

Republic of Peru (Peru), Sr. Unsec’d. Notes

     7.125     03/30/19        325         387,563   

Romanian Government International Bond (Romania), Sr. Unsec’d. Notes, 144A

     4.875     01/22/24 (d)      3,134         3,055,650   

Slovenia Government International Bond (Slovenia), Sr. Unsec’d Notes, RegS

     4.750     05/10/18 (d)      2,700         2,761,560   


South Africa Government International Bond (South Africa), Unsec’d. Notes, MTN

     4.500     04/05/16      EUR 2,900         4,107,991   

Spain Government Bond (Spain), Bonds

     4.250     10/31/16      EUR 8,780         12,740,562   

Spain Government International Bond (Spain), Sr. Unsec’d. Notes, MTN, RegS

     4.000     03/06/18        4,500         4,714,740   

Spain Government International Bond (Spain), Sr. Unsec’d. Notes, MTN, 144A

     4.000     03/06/18        4,000         4,190,880   

Turkey Government International Bond (Turkey), Bonds

     5.750     03/22/24 (d)      1,905         1,862,138   

Turkey Government International Bond (Turkey), Sr. Unsec’d. Notes

     5.875     04/02/19      EUR 2,200         3,208,389   

Uruguay Government International Bond (Uruguay), Sr. Unsec’d. Notes

     6.875     01/19/16      EUR 490         716,711   

Uruguay Government International Bond (Uruguay), Sr. Unsec’d. Notes

     7.000     06/28/19      EUR 500         799,110   
         

 

 

 

TOTAL SOVEREIGN BONDS
(cost $186,349,767)

            193,864,877   
         

 

 

 

U.S. GOVERNMENT AGENCY
OBLIGATIONS — 2.4%

         

Federal Home Loan Mortgage Corp.

     2.533 %(a)      07/01/30        3         2,819   

Federal Home Loan Mortgage Corp.

     4.000     TBA        9,000         9,372,656   

Federal Home Loan Mortgage Corp.

     4.500     09/01/39 - 10/01/39        3,651         3,908,376   

Federal Home Loan Mortgage Corp.

     5.000     01/01/39 - 07/01/40        829         902,693   

Federal Home Loan Mortgage Corp.

     5.500     10/01/33 - 07/01/34        863         968,197   

Federal Home Loan Mortgage Corp.

     6.000     10/01/32 - 12/01/36        579         647,896   

Federal Home Loan Mortgage Corp.

     6.500     07/01/32 - 11/01/33        211         237,513   

Federal Home Loan Mortgage Corp.

     7.000     09/01/32        57         64,267   

Federal Home Loan Mortgage Corp.

     8.500     08/01/24 - 11/01/24        13         14,587   

Federal National Mortgage Assoc.

     1.534 %(a)      09/01/40        33         34,462   

Federal National Mortgage Assoc.

     2.340 %(a)      09/01/31        12         12,593   

Federal National Mortgage Assoc.

     3.085 %(a)      05/01/36        30         31,258   

Federal National Mortgage Assoc.

     3.500     TBA        2,000         2,108,125   

Federal National Mortgage Assoc.

     4.500     TBA          13,000         13,946,563   

Federal National Mortgage Assoc.

     4.500     08/01/33        15         15,895   

Federal National Mortgage Assoc.

     4.508 %(a)      01/01/28        13         13,619   

Federal National Mortgage Assoc.

     5.000     10/01/17 - 03/01/34        2,977         3,251,758   

Federal National Mortgage Assoc.

     5.500     03/01/16 - 03/01/35        5,729         6,321,027   

Federal National Mortgage Assoc.

     6.000     12/01/16 - 06/01/37        1,954         2,176,320   

Federal National Mortgage Assoc.

     6.500     12/01/17 - 11/01/33        918         1,020,006   

Federal National Mortgage Assoc.

     7.000     03/01/32 - 06/01/32        72         81,895   

Government National Mortgage Assoc.

     1.625 %(a)      11/20/29 - 05/20/30        55         56,505   

Government National Mortgage Assoc.

     4.500     TBA        5,500         5,952,032   

Government National Mortgage Assoc.

     4.500     02/20/41        9,438         10,283,553   

Government National Mortgage Assoc.

     5.000     08/20/39        3,265         3,612,118   

Government National Mortgage Assoc.

     5.500     08/15/33        21         23,664   

Government National Mortgage Assoc.

     6.000     01/15/33 - 12/15/33        148         167,147   

Government National Mortgage Assoc.

     6.500     09/15/32 - 07/15/38        668         750,319   

Government National Mortgage Assoc.

     8.000     08/20/31        1         1,033   

Government National Mortgage Assoc.

     8.500     06/15/30        1         855   
         

 

 

 

TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS
(cost $64,877,611)

            65,979,751   
         

 

 

 

U.S. TREASURY OBLIGATIONS — 6.1%

         

U.S. Treasury Bonds(e)

     3.625     08/15/43 (d)      8,165         8,166,234   

U.S. Treasury Bonds

     3.750     11/15/43        95         97,212   

U.S. Treasury Notes

     1.500     12/31/18 (d)      44,585         44,612,866   

U.S. Treasury Notes

     1.500     01/31/19        25,380         25,368,097   


U.S. Treasury Notes(e)(h)

     2.375     02/28/15        13,865         14,190,509   

U.S. Treasury Notes

     2.375     12/31/20        54,445         55,342,471   

U.S. Treasury Notes

     2.750     11/15/23        8,690         8,752,464   

U.S. Treasury Strip Coupon(e)

     2.749 %(g)      02/15/25        3,700         2,640,609   

U.S. Treasury Strip Coupon(e)(h)

     3.043 %(g)      11/15/27 (d)      15,710         9,851,741   

U.S. Treasury Strip Coupon(e)

     3.126 %(g)      02/15/27        1,730         1,122,684   
         

 

 

 

TOTAL U.S. TREASURY OBLIGATIONS
(cost $170,380,868)

    

     170,144,887   
         

 

 

 
      Shares         

PREFERRED STOCK

         

Banking

         

Citigroup Capital XIII, (Capital Security, fixed to floating preferred) 7.875%
(cost $550,000)

   

    22,000         596,860   
         

 

 

 

TOTAL LONG-TERM INVESTMENTS
(cost $2,727,621,529)

    

     2,760,534,729   
         

 

 

 

SHORT-TERM INVESTMENTS — 12.1%

         

AFFILIATED MUTUAL FUNDS

         

Prudential Investment Portfolios 2 — Prudential Core Short-Term Bond Fund
(cost $28,827,399)(i)(j)

   

    2,912,713         27,175,609   

Prudential Investment Portfolios 2 — Prudential Core Taxable Money Market Fund
(cost $310,401,536; includes $246,672,771 of cash collateral received for securities on loan)(i)(j)

    

    310,401,536         310,401,536   
         

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(cost $339,228,935)

    

     337,577,145   
         

 

 

 

TOTAL INVESTMENTS — 110.7%
(cost $3,066,850,464)(k)

    

     3,098,111,874   

LIABILITIES IN EXCESS OF OTHER ASSETS(l) — (10.7)%

  

     (299,026,774
         

 

 

 

NET ASSETS — 100.0%

  

   $ 2,799,085,100   
         

 

 

 

 

 

The following abbreviations are used in the Portfolio descriptions:

 

144A    Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers. Unless otherwise noted, 144A securities are deemed to be liquid.
RegS    Regulation S. Security was purchased pursuant to Regulation S and may not be offered, sold or delivered within the United States or to, or for the account or benefit of, U.S. persons, except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
ABS    Asset Backed Security
AUD    Australian Dollar
BABs    Build America Bonds
BBR    New Zealand Bank Bill Rate
BBSW    Australian Bank Bill Swap Reference Rate
bps    Basis Points
BRL    Brazilian Real
BUBOR    Budapest Interbank Offered Rate
CAD    Canadian Dollar
CDO    Collateralized Debt Obligation
CDX    Credit Derivative Index
CHF    Swiss Franc
CLO    Collateralized Loan Obligation
CMBS    Collateralized Mortgage-Backed Security
CNY    Chinese Yuan


COLIBOR    Colombia Interbank Offered Rate
COP    Colombian Peso
CZK    Czech Republic Koruna
DKK    Danish Krone
EUR    Euro
EURIBOR    Euro Interbank Offered Rate
FHLMC    Federal Home Loan Mortgage Corp.
GBP    British Pound
GO    General Obligation
HKD    Hong Kong Dollar
HUF    Hungarian Forint
ILS    Israeli New Shekel
INR    Indian Rupee
IO    Interest Only
ITL    Italian Lira
JIBAR    Johannesburg Interbank Agreed Rate
JPY    Japanese Yen
KRW    South Korean Won
LIBOR    London Interbank Offered Rate
MosPrime    Moscow Prime Offered Rate
MTN    Medium Term Note
MXN    Mexican Peso
MYR    Malaysian Ringgit
NOK    Norwegian Krone
NZD    New Zealand Dollar
OIS    Overnight Index Swap
PEN   

Peruvian Nuevo Sol

PHP    Philippine Peso
PLN    Polish Zloty
REMICS    Real Estate Mortgage Investment Conduit
RON    Romanian Leu
RUB    Russian Ruble
SEK    Swedish Krona
SGD    Singapore Dollar
TBA    To Be Announced
TELBOR    Tel Aviv Interbank Offered Rate
THB    Thai Baht
TRY    Turkish Lira
TWD    New Taiwanese Dollar
WIBOR    Warsaw Interbank Offered Rate
ZAR    South African Rand
#    Principal or notional amount is shown in U.S. dollars unless otherwise stated.
(a)    Variable rate instrument. The interest rate shown reflects the rate in effect at January 31, 2014.
(b)    Indicates a security or securities that have been deemed illiquid.
(c)    Indicates a restricted security; the aggregate original cost of such securities is $47,513,192. The aggregate value, $47,209,098, is approximately 1.7% of net assets.
(d)    All or a portion of security is on loan. The aggregate market value of such securities, including those sold and pending settlement, is $241,277,297; cash collateral of $246,672,771 (included with liabilities) was received with which the Fund purchased highly liquid short-term investments.
(e)    Represents security, or a portion thereof, segregated as collateral for swap agreements.
(f)    Represents issuer in default on interest payments. Non-income producing security.
(g)    Represents zero coupon bond or principal only securities. Rate represents yield to maturity at purchase date.
(h)    Represents security, or a portion thereof, segregated as collateral for futures contracts.
(i)    Prudential Investments LLC, the manager of the Fund, also serves as manager of the Prudential Investment Portfolios 2 — Prudential Core Taxable Money Market Fund and the Prudential Investment Portfolios 2 — Prudential Core Short-Term Bond Fund.


(j)    Represents security, or a portion thereof, purchased with cash collateral received for securities on loan.
(k)    The United States federal income tax basis of investments and net unrealized appreciation were as follows:

 

Tax Basis

   $     3,087,606,392   
  

 

 

 

Appreciation

     68,111,030   

Depreciation

     (57,605,548
  

 

 

 

Net Unrealized Appreciation

   $ 10,505,482   
  

 

 

 

The book basis may differ from tax basis due to certain tax related adjustments.

 

(l) Includes net unrealized appreciation (depreciation) on the following derivative contracts held at reporting period end:

Open futures contracts outstanding at January 31, 2014:

 

Number of
Contracts

  

Type

  

Expiration
Date

   Value at
Trade Date
     Value at
January 31, 2014
     Unrealized
Appreciation
(Depreciation)(1)
 
  

Long Positions:

           
4,072   

5 Year U.S. Treasury Notes

   Mar. 2014    $     487,047,526       $     491,185,000       $ 4,137,474   
2,132   

10 Year U.S. Treasury Notes

   Mar. 2014      265,219,711         268,099,000         2,879,289   
              

 

 

 
                 7,016,763   
              

 

 

 
  

Short Positions:

           
1,583   

2 Year U.S. Treasury Notes

   Mar. 2014      348,506,271         348,581,547         (75,276
177   

Euro-Bobl

   Mar. 2014      30,012,694         30,253,166         (240,472
107   

Euro-Bond

   Mar. 2014      20,391,941         20,763,585         (371,644
190   

U.S. Ultra Bonds

   Mar. 2014      26,416,840         27,324,375         (907,535
              

 

 

 
                 (1,594,927
              

 

 

 
               $ 5,421,836   
              

 

 

 

 

(1) The amount represents fair value of derivative instruments subject to interest rate contracts risk exposure as of January 31, 2014.

Forward foreign currency exchange contracts outstanding at January 31, 2014:

 

Purchase Contracts

  

Counterparty

   Notional
Amount
(000)
     Value at
Settlement
Date Payable
     Current
Value
     Unrealized
Appreciation
(Depreciation)(1)
 

Australian Dollar,
Expiring 04/15/14

   Deutsche Bank AG      AUD         7,985       $ 6,979,900       $ 6,953,408       $ (26,492

Expiring 04/15/14

   JPMorgan Chase      AUD         4,800         4,187,900         4,180,297         (7,603

Brazilian Real,
Expiring 04/14/14

   Citigroup Global Markets      BRL         1,448         600,533         588,734         (11,799

Expiring 04/14/14

   Citigroup Global Markets      BRL         6,959         2,873,138         2,829,890         (43,248

British Pound,
Expiring 04/28/14

   Citigroup Global Markets      GBP         5,923         9,811,741         9,729,656         (82,085

Canadian Dollar,
Expiring 04/25/14

   Deutsche Bank AG      CAD         6,231         5,595,900         5,583,475         (12,425

Chinese Yuan,
Expiring 04/15/14

   Citigroup Global Markets      CNY           194,814         32,237,626         32,109,206         (128,420

Expiring 04/15/14

   JPMorgan Chase      CNY         53,273         8,817,137         8,780,488         (36,649

Expiring 04/15/14

   UBS AG      CNY         50,361         8,334,961         8,300,453         (34,508

Expiring 04/15/14

   UBS AG      CNY         60,527         10,016,849         9,976,121         (40,728


Czech Republic Koruna,
Expiring 04/24/14

   Barclays Capital Group      CZK         141,895         7,013,250         6,954,579      

 

(58,671

Expiring 04/24/14

   Deutsche Bank AG      CZK         82,909         4,132,100         4,063,531         (68,569

Euro,
Expiring 04/28/14

   Citigroup Global Markets      EUR         4,708         6,377,793         6,350,463         (27,330

Expiring 04/28/14

   Deutsche Bank AG      EUR         9,828           13,307,607           13,256,014         (51,593

Hong Kong Dollar,
Expiring 04/15/14

   Citigroup Global Markets      HKD         171,421         22,101,624         22,082,609         (19,015

Hungarian Forint,
Expiring 04/24/14

   JPMorgan Chase      HUF         2,840,167         12,696,320         12,195,125         (501,195

Indian Rupee,
Expiring 02/03/14

   Citigroup Global Markets      INR         196,066         3,117,700         3,127,247         9,547   

Expiring 02/03/14

   Citigroup Global Markets      INR         1,172,923         18,436,381         18,708,090         271,709   

Expiring 02/03/14

   Toronto Dominion      INR         2,064,655         32,911,527         32,931,208         19,681   

Expiring 02/03/14

   UBS AG      INR         695,667         11,046,714         11,095,871         49,157   

Expiring 03/04/14

   Toronto Dominion      INR         2,064,655         32,426,424         32,721,511         295,087   

Israeli Shekel,
Expiring 04/30/14

   Citigroup Global Markets      ILS         9,654         2,763,180         2,742,210         (20,970

Expiring 04/30/14

   Deutsche Bank AG      ILS         14,500         4,152,800         4,118,843         (33,957

Japanese Yen,
Expiring 04/25/14

   JPMorgan Chase      JPY         2,825,414         27,621,900         27,666,655         44,755   

Expiring 04/28/14

   Citigroup Global Markets      JPY         1,698,941         16,298,074         16,636,469         338,395   

Malaysian Ringgit,
Expiring 04/10/14

   UBS AG      MYR         13,453         4,089,000         4,003,553         (85,447

Mexican Peso,
Expiring 04/25/14

   BNP Paribas      MXN         174,988         13,076,989         12,997,642         (79,347

Expiring 04/25/14

   Deutsche Bank AG      MXN         112,188         8,375,800         8,332,994         (42,806

New Taiwanese Dollar,
Expiring 03/04/14

   UBS AG      TWD         272,796         9,263,167         9,013,221         (249,946

New Zealand Dollar,
Expiring 04/15/14

   Barclays Capital Group      NZD         18,800         15,535,875         15,120,293         (415,582

Expiring 10/23/14

   Goldman Sachs & Co.      NZD         8,467         6,825,600         6,690,376         (135,224

Norwegian Krone,
Expiring 04/24/14

   JPMorgan Chase      NOK         48,009         7,767,165         7,624,638         (142,527

Peruvian Nuevo Sol,
Expiring 02/04/14

   Citigroup Global Markets      PEN         321         113,841         113,689         (152

Expiring 02/04/14

   Citigroup Global Markets      PEN         17,364         6,225,190         6,144,820         (80,370

Expiring 02/04/14

   Citigroup Global Markets      PEN         17,685         6,266,674         6,258,508         (8,166

Philippine Peso,
Expiring 03/17/14

   Barclays Capital Group      PHP         398,845         8,932,290         8,794,567         (137,723

Polish Zloty,
Expiring 04/24/14

   Barclays Capital Group      PLN         81,283         26,323,237         25,646,893         (676,344

Romanian Leu,
Expiring 04/24/14

   Hong Kong & Shanghai Bank      RON         17,550         5,240,349         5,196,747         (43,602

Russian Ruble,
Expiring 04/17/14

   Citigroup Global Markets      RUB         102,110         3,032,047         2,858,666         (173,381

Singapore Dollar,
Expiring 04/17/14

   BNP Paribas      SGD         5,337         4,187,900         4,179,903         (7,997


South African Rand,
Expiring 04/25/14

   Citigroup Global Markets      ZAR        31,244        2,791,900        2,774,950         (16,950

South Korean Won,
Expiring 04/08/14

   UBS AG      KRW        15,371,769        14,290,015        14,303,093         13,078   

Swedish Krona,
Expiring 04/24/14

   BNP Paribas      SEK        185,392        28,567,087        28,259,492         (307,595

Swiss Franc,
Expiring 04/24/14

   Deutsche Bank AG      CHF        28,391        31,765,200        31,335,630         (429,570

Thai Baht,
Expiring 02/12/14

   Barclays Capital Group      THB        42,818        1,347,400        1,296,305         (51,095

Expiring 02/12/14

   Barclays Capital Group      THB        44,190        1,361,900        1,337,822         (24,078

Expiring 02/12/14

   Barclays Capital Group      THB        131,792        4,081,000        3,989,958         (91,042

Expiring 02/12/14

   Barclays Capital Group      THB        132,038        4,073,600        3,997,387         (76,213

Expiring 02/12/14

   BNP Paribas      THB        131,437        4,081,000        3,979,197         (101,803

Expiring 02/12/14

   Credit Suisse First Boston Corp.      THB        131,549        4,080,100        3,982,593         (97,507

Turkish Lira,
Expiring 04/30/14

   Deutsche Bank AG      TRY        4,541        1,954,400        1,957,903         3,503   

Expiring 04/30/14

   Deutsche Bank AG      TRY        12,990        5,583,900        5,600,105         16,205   

Expiring 04/30/14

   Deutsche Bank AG      TRY        22,968        9,689,900        9,901,996         212,096   
         

 

 

   

 

 

    

 

 

 
          $ 542,781,601      $ 539,375,092       $ (3,406,509
         

 

 

   

 

 

    

 

 

 

Sale Contracts

  

Counterparty

   Notional
Amount
(000)
    Value at
Settlement

Date Receivable
    Current
Value
     Unrealized
Appreciation
(Depreciation)(1)
 

Australian Dollar,
Expiring 04/15/14

   Deutsche Bank AG      AUD        6,423      $ 5,595,900      $ 5,593,697       $ 2,203   

Expiring 04/15/14

   Goldman Sachs & Co.      AUD        15,971        13,810,900        13,908,114         (97,214

British Pound,
Expiring 04/25/14

   JPMorgan Chase      GBP        5,023        8,286,600        8,252,082         34,518   

Expiring 04/28/14

   Citigroup Global Markets      GBP        7,810        12,978,065        12,830,836         147,229   

Canadian Dollar,
Expiring 04/25/14

   Toronto Dominion      CAD        26,351        24,072,915        23,612,738         460,177   

Czech Republic Koruna,
Expiring 04/24/14

   BNP Paribas      CZK        227,648        11,174,200        11,157,482         16,718   

Danish Krone,
Expiring 04/24/14

   Barclays Capital Group      DKK        21,949        3,992,166        3,970,229         21,937   

Euro,
Expiring 02/03/14

   Citigroup Global Markets      EUR        4,708        6,377,962        6,350,223         27,739   

Expiring 04/28/14

   Citigroup Global Markets      EUR        1,056        1,429,610        1,424,560         5,050   

Expiring 04/28/14

   Credit Suisse First Boston Corp.      EUR        858        1,173,196        1,156,835         16,361   

Expiring 04/28/14

   Goldman Sachs & Co.      EUR        5,151        7,043,664        6,948,000         95,664   

Hungarian Forint,
Expiring 04/24/14

   Citigroup Global Markets      HUF        782,253        3,357,500        3,358,842         (1,342

Expiring 04/24/14

   Deutsche Bank AG      HUF        1,549,387        6,894,700        6,652,769         241,931   

Expiring 04/24/14

   Deutsche Bank AG      HUF        634,952        2,793,600        2,726,361         67,239   

Indian Rupee,
Expiring 02/03/14

   Citigroup Global Markets      INR        1,172,923        18,696,909        18,708,090         (11,181

Expiring 02/03/14

   Citigroup Global Markets      INR        196,066        3,125,378        3,127,247         (1,869


Expiring 02/03/14

   Toronto Dominion      INR        2,064,655         32,642,771         32,931,208         (288,437

Expiring 02/03/14

   UBS AG      INR        695,667         11,089,240         11,095,871         (6,631

Expiring 03/04/14

   Citigroup Global Markets      INR        192,485         3,071,400         3,050,576         20,824   

Expiring 03/04/14

   Citigroup Global Markets      INR        186,651         2,914,600         2,958,122         (43,522

Expiring 03/04/14

   Citigroup Global Markets      INR        177,707         2,707,300         2,816,377         (109,077

Expiring 03/04/14

   UBS AG      INR        368,218         6,280,900         5,835,668         445,232   

Expiring 03/04/14

   UBS AG      INR        339,471         5,893,600         5,380,083         513,517   

Expiring 03/04/14

   UBS AG      INR        302,258         5,210,900         4,790,314         420,586   

Expiring 03/04/14

   UBS AG      INR        254,857         4,386,900         4,039,079         347,821   

Expiring 03/04/14

   UBS AG      INR        212,011         3,111,400         3,360,035         (248,635

Japanese Yen,
Expiring 04/28/14

   Hong Kong & Shanghai Bank      JPY        9,147,077           88,406,172           89,570,567         (1,164,395

Malaysian Ringgit,
Expiring 04/10/14

   UBS AG      MYR        12,940         3,861,000         3,850,983                     10,017   

Mexican Peso,
Expiring 04/25/14

   Deutsche Bank AG      MXN        55,255         4,124,900         4,104,192         20,708   

Expiring 04/25/14

   Deutsche Bank AG      MXN        37,390         2,762,200         2,777,211         (15,011

New Taiwanese Dollar,
Expiring 03/04/14

   Citigroup Global Markets      TWD        272,796         9,257,352         9,013,222         244,130   

Expiring 03/04/14

   UBS AG      TWD        125,242         4,136,800         4,138,008         (1,208

Expiring 03/18/14

   Citigroup Global Markets      TWD        123,242         4,089,000         4,074,155         14,845   

Expiring 03/18/14

   Citigroup Global Markets      TWD        81,169         2,717,400         2,683,280         34,120   

New Zealand Dollar,
Expiring 04/15/14

   UBS AG      NZD        6,953         5,595,900         5,591,992         3,908   

Norwegian Krone,
Expiring 04/24/14

   Barclays Capital Group      NOK        44,088         6,994,900         7,001,961         (7,061

Expiring 04/24/14

   BNP Paribas      NOK        81,723         13,258,500         12,979,119         279,381   

Expiring 04/24/14

   BNP Paribas      NOK        43,739         6,983,900         6,946,609         37,291   

Peruvian Nuevo Sol,
Expiring 02/04/14

   Citigroup Global Markets      PEN        17,685         6,253,600         6,258,508         (4,908

Expiring 02/04/14

   Citigroup Global Markets      PEN        17,364         6,152,837         6,144,820         8,017   

Expiring 02/04/14

   Citigroup Global Markets      PEN        321         113,837         113,689         148   

Philippine Peso,
Expiring 03/17/14

   UBS AG      PHP        403,216         9,204,800         8,890,963         313,837   

Polish Zloty,
Expiring 04/24/14

   BNP Paribas      PLN        31,051         9,792,900         9,797,434         (4,534

Russian Ruble,
Expiring 04/17/14

   Citigroup Global Markets      RUB        285,979         8,264,200         8,006,220         257,980   

Expiring 04/17/14

   Citigroup Global Markets      RUB        147,644         4,187,900         4,133,435         54,465   

Expiring 04/17/14

   Toronto Dominion      RUB        111,062         3,282,904         3,109,268         173,636   

Singapore Dollar,
Expiring 04/17/14

   Citigroup Global Markets      SGD        5,329         4,185,152         4,173,801         11,352   


South African Rand,
Expiring 04/25/14

   Citigroup Global Markets      ZAR        49,425        4,369,723        4,389,667         (19,944

South Korean Won,
Expiring 04/08/14

   Citigroup Global Markets      KRW        2,909,015        2,714,900        2,706,775         8,125   

Expiring 04/08/14

   UBS AG      KRW        12,685,912        11,601,200        11,803,962         (202,762

Swedish Krona,
Expiring 04/24/14

   Goldman Sachs & Co.      SEK        64,117        9,792,900        9,773,364         19,536   

Swiss Franc,
Expiring 04/24/14

   Credit Suisse First Boston Corp.      CHF        23,412        25,758,066        25,839,355         (81,289

Expiring 04/24/14

   Credit Suisse First Boston Corp.      CHF        4,957        5,537,100        5,471,577                   65,523   

Expiring 04/24/14

   Goldman Sachs & Co.      CHF        3,762        4,187,900        4,152,352         35,548   

Thai Baht,
Expiring 02/12/14

   Barclays Capital Group      THB        176,925        5,447,800        5,356,333         91,467   

Expiring 02/12/14

   Barclays Capital Group      THB        131,947        4,069,800        3,994,656         75,144   

Expiring 02/12/14

   Barclays Capital Group      THB        130,049        4,078,500        3,937,173         141,327   

Expiring 02/12/14

   Citigroup Global Markets      THB        172,953        5,414,600        5,236,073         178,527   

Expiring 11/18/14

   Credit Suisse First Boston Corp.      THB        169,548        5,000,000        5,067,888         (67,888

Turkish Lira,
Expiring 04/30/14

   Barclays Capital Group      TRY        188,387        79,532,012        81,217,801         (1,685,789
         

 

 

   

 

 

    

 

 

 
        $     579,242,931      $     578,341,847       $ 901,084   
         

 

 

   

 

 

    

 

 

 

 

(1) The amount represents fair value of derivative instruments subject to foreign exchange contracts risk exposure as of January 31, 2014.

Cross currency exchange contracts outstanding at January 31, 2014:

 

Settlement

     Type        Notional
Amount
(000)
       In Exchange
For (000)
       Unrealized
Appreciation(1)
      

Counterparty

04/24/14

       Buy           GBP         3,341           NOK         34,274           44,912         Deutsche Bank AG

04/24/14

       Buy           JPY         572,402           EUR         4,144           15,988         Deutsche Bank AG
                         

 

 

      
                          $ 60,900        
                         

 

 

      

 

(1) The amount represents fair value of derivative instruments subject to foreign exchange contracts risk exposure as of January 31, 2014.

Interest rate swap agreements outstanding at January 31, 2014:

 

Notional
Amount
(000)#

   

Termination
Date

   Fixed
Rate
    

Floating

Rate

  Fair
Value
    Upfront
Premiums
Paid (Received)
    Unrealized
Appreciation
(Depreciation)(3)
   

Counterparty

Over-the-counter swap agreements:

AUD

    2,500      12/19/32      4.423%       6 Month BBSW(2)   $ (110,757   $ —        $ (110,757   Barclays Capital Group

AUD

    3,190      12/20/32      4.420%      

6 Month BBSW(2)

    (143,701     —          (143,701   Citigroup Global Markets

BRL

    99,480      01/01/17      —        

1 Day Brazil Interbank
Rate(2)

    (2,279,722     —          (2,279,722  

Hong Kong & Shanghai Bank

BRL

    21,481      01/01/17      —        

1 Day Brazil Interbank
Rate(2)

    (819,564     —          (819,564   Barclays Capital Group

BRL

    16,966      01/01/17      —        

1 Day Brazil Interbank
Rate(2)

    (891,239     —          (891,239   Citigroup Global Markets

COP

    4,330      11/19/18      5.380%      

1 Day COLIBOR
OIS(2)

    17,249        —          17,249     

Hong Kong & Shanghai Bank


                                         

COP

    4,330      11/20/18      5.290%      

1 Day COLIBOR OIS(2)

    8,297        —          8,297      Deutsche Bank AG

EUR

    27,100      12/14/14      0.349%      

3 Month EURIBOR(1)

    9,453        —          9,453      Citigroup Global Markets

EUR

    40,200      01/25/16      0.695%      

6 Month EURIBOR(2)

    283,024        —          283,024      Citigroup Global Markets

EUR

    3,150      12/13/27      2.065%      

3 Month EURIBOR(1)

    93,550        —          93,550      Barclays Capital Group

ILS

    91,100      11/20/18      2.163%      

3 Month TELBOR(2)

    34,277        —          34,277      Barclays Capital Group

MXN

    208,000      06/20/18      6.020%      

28 Day Mexican Interbank Rate(2)

    318,836        —          318,836      Credit Suisse First Boston Corp.

MXN

    163,300      11/09/18      5.410%      

28 Day Mexican Interbank Rate(2)

    (139,856     —          (139,856   Deutsche Bank AG

MXN

    104,200      04/28/23      5.100%      

28 Day Mexican Interbank Rate(2)

    (1,038,085     —          (1,038,085   Barclays Capital Group

MXN

    96,000      10/20/23      6.540%      

28 Day Mexican Interbank Rate(2)

    (217,676     —          (217,676   Deutsche Bank

NZD

    2,000      08/09/16      3.125%      

3 Month BBR(2)

    (19,326     —          (19,326   Citigroup Global Markets

NZD

    7,900      08/18/16      4.173%      

3 Month BBR(2)

    111,259        —          111,259      Citigroup Global Markets

NZD

    4,800      03/26/17      3.810%      

3 Month BBR(2)

    (666     —          (666   Hong Kong & Shanghai Bank

NZD

    2,570      08/12/18      4.143%      

3 Month BBR(2)

    1,445        —          1,445      Citigroup Global Markets

NZD

    1,930      08/13/18      4.160%      

3 Month BBR(2)

    2,298        —          2,298      Citigroup Global Markets

NZD

    1,930      08/13/18      4.218%      

3 Month BBR(2)

    6,394        —          6,394      Barclays Capital Group

NZD

    3,370      09/25/22      3.790%      

3 Month BBR(2)

    (200,308     —          (200,308   Citigroup Global Markets

NZD

    2,620      08/12/23      4.648%      

3 Month BBR(2)

    (28,640     —          (28,640   Citigroup Global Markets

NZD

    1,900      08/13/23      4.668%      

3 Month BBR(2)

    (18,347     —          (18,347   Citigroup Global Markets

NZD

    1,900      08/13/23      4.730%      

3 Month BBR(2)

    (10,609     —          (10,609   Barclays Capital Group

PLN

    84,400      06/28/18      3.736%      

6 Month WIBOR(2)

    292,154        —          292,154      Citigroup Global Markets

RUB

    262,500      05/17/23      7.250%      

3 Month MosPrime(2)

    (265,651     —          (265,651   Credit Suisse First Boston Corp.

RUB

    262,500      05/20/23      7.250%      

3 Month MosPrime(2)

    (268,576     —          (268,576   Credit Suisse First Boston Corp.
    29,815      12/14/14      0.351%      

3 Month LIBOR(2)

    24,125        —          24,125      Citigroup Global Markets
    48,310      01/25/16      0.503%      

3 Month LIBOR(1)

    (53,844     —          (53,844   Citigroup Global Markets
    38,885      08/31/16      0.934%      

3 Month LIBOR(2)

    418,621        —          418,621      Credit Suisse First Boston Corp.
    2,195      09/14/16      1.206%      

3 Month LIBOR(1)

    (40,156     —          (40,156   Deutsche Bank AG
    44,635      08/31/17      0.751%      

3 Month LIBOR(1)

    366,917        —          366,917      Bank of Nova Scotia
    2,220      04/18/18      0.986%      

6 Month LIBOR(1)

    33,333        —          33,333      Citigroup Global Markets
    27,095      11/15/19      1.334%      

3 Month LIBOR(1)

    788,171        —          788,171      Citigroup Global Markets
    5,640      04/19/20      1.441%      

6 Month LIBOR(1)

    207,281        —          207,281      Citigroup Global Markets
    4,030      12/13/27      2.200%      

3 Month LIBOR(2)

    (470,700     —          (470,700   Barclays Capital Group

ZAR

    173,500      06/25/18      7.420%      

3 Month JIBAR(2)

    (398,327     —          (398,327   Barclays Capital Group

ZAR

    20,000      09/03/33      8.970%      

3 Month JIBAR(2)

    (56,813     —          (56,813   Hong Kong & Shanghai Bank
           

 

 

   

 

 

   

 

 

   
            $   (4,455,879)      $   —        $   (4,455,879)     
           

 

 

   

 

 

   

 

 

   

 


Interest rate swap agreements outstanding at January 31, 2014:

 

Notional
Amount
(000)#

   Termination
Date
    

Fixed
Rate

  

Floating

Rate

   Value at
Trade Date
     Value at
January 31,
2014
    Unrealized
Appreciation
(Depreciation)(3)
 

Exchange-traded swap agreements:

  

MXN

  135,000      12/02/15       5.080%    28 Day Mexican Interbank Rate(2)    $ —         $ 131,983      $ 131,983   

MXN

  108,800      05/25/22       6.370%    28 Day Mexican Interbank Rate(2)      —           (177,394     (177,394

ZAR

  85,100      11/14/23       8.190%    3 Month JIBAR(2)      81         (342,134     (342,215
  19,075      11/27/18       1.592%    3 Month LIBOR(1)      236         (43,374     (43,610
  79,935      02/28/18       1.649%    3 Month LIBOR(1)      510         (1,269,483     (1,269,993
  50,480      08/31/20       2.085%    3 Month LIBOR(1)      453         66,995        66,542   
  50,625      08/31/20       2.219%    3 Month LIBOR(1)      454         (360,095     (360,549
  12,775      08/31/20       2.490%    3 Month LIBOR(1)      227         (310,189     (310,416
  62,960      08/29/15       0.740%    3 Month LIBOR(1)      213         (206,751     (206,964
  77,250      08/31/20       2.278%    3 Month LIBOR(1)      614         (838,115     (838,729
  405,000      07/24/15       0.476%    3 Month LIBOR(2)      —           857,719        857,719   
  35,050      08/09/23       4.231%    3 Month LIBOR(2)      308         275,676        275,368   
  82,250      08/07/23       4.248%    3 Month LIBOR(2)      —           710,609        710,609   
  35,050      08/08/23       4.283%    3 Month LIBOR(2)      308         354,538        354,230   

NZD

  83,940      09/01/15       3.858%    3 Month NZD LIBOR(2)      182         (97,486     (97,668

NZD

  5,260      08/19/23       4.850%    3 Month NZD LIBOR(2)      155         (69,305     (69,460

PLN

  65,000      09/03/18       3.985%    6 Month WIBOR(2)      137         235        98   

HUF

  3,020,000      11/18/18       4.340%    6 Month BUBOR(2)      62         (220,163     (220,225

HUF

  1,800,000      09/03/23       5.940%    6 Month BUBOR(2)      64         261,619        261,555   

HUF

  541,300      09/02/23       6.085%    6 Month BUBOR(2)      20         103,926        103,906   

EUR

  113,600      09/11/15       0.565%    6 Month EURIBOR(1)      589         (430,344     (430,933

GBP

  10,100      11/21/23       2.761%    6 Month GBP LIBOR(2)      373         21,988        21,615   

PLN

  22,500      11/18/23       4.020%    6 Month WIBOR(2)      106         (234,609     (234,715

PLN

  7,400      09/02/18       4.020%    6 Month WIBOR(2)      57         3,439        3,382   
             

 

 

    

 

 

   

 

 

 
   $ 5,149       $   (1,810,715)      $ (1,815,864
             

 

 

    

 

 

   

 

 

 

 

(1) The Fund pays the fixed rate and receives the floating rate.
(2) The Fund pays the floating rate and receives the fixed rate.
(3) The amount represents fair value of derivative instruments subject to interest rate contracts risk exposure as of January 31, 2014.
# Notional Amount is shown in U.S. dollars unless otherwise stated.

Credit default swap agreements outstanding at January 31, 2014:

 

Reference Entity/Obligation

 

Termination
Date

  Fixed
Rate
    Notional
Amount
(000)#(4)
   

Value at

Trade Date

  Value at
January 31, 2014
    Unrealized
(Depreciation)(5)
 

Exchange-traded credit default swaps on credit indices—Buy Protection(1):

  

 

CDX.NA.IG.21.V1

  12/20/18     1.000%        795,500      $  (8,074,266)   $   (10,585,133)      $ (2,510,867

iTRAXX.EUR.19.V1

  06/20/18     1.000%      EUR 1,000      (179)     (15,324     (15,145
       

 

 

 

 

   

 

 

 
        $  (8,074,445)   $   (10,600,457)      $ (2,526,012
       

 

 

 

 

   

 

 

 

Reference Entity/Obligation

 

Termination
Date

  Fixed
Rate
    Notional
Amount
(000)#(4)
   

Value at

Trade Date

  Value at
January 31, 2014
    Unrealized
(Depreciation)(5)
 

Exchange-traded credit default swaps on credit indices—Sell Protection(2):

  

 

CDX.NA.HY.18.V2

  06/20/17    
5.000%
  
    89,100      $      8,192,855   $ 7,141,922      $ (1,050,933
       

 

 

 

 

   

 

 

 

Reference Entity/Obligation

 

Termination
Date

  Fixed
Rate
    Notional
Amount
(000)#(4)
   

Fair

Value(3)

  Upfont
Premiums
Paid
(Received)
    Unrealized
Depreciation(5)
    Conterparty

Over-the-counter credit default swaps on corporate issues—Buy Protection(1):

American International Group, Inc.

  03/20/18     3.700%        1,300      $  (165,963)   $ —        $ (165,963   Deutsche Bank AG

Centex Corp.

  06/20/14     1.000%        2,500      (12,120)     (1,332     (10,788   Credit Suisse First Boston Corp.

Duke Energy Corp.

  03/20/14     0.700%        1,250      (2,197)     —          (2,197   Goldman Sachs & Co.

International Paper Co.

  03/20/14     5.300%        2,000      (26,605)     —          (26,605   Goldman Sachs & Co.

R.R. Donnelley & Sons Co.

  06/20/14     1.000%        2,400      (10,319)     14,794        (25,113   Deutsche Bank AG


Credit default swap agreements outstanding at January 31, 2014 (cont’d.):

 

R.R. Donnelley & Sons Co.

  09/20/16     1.000%        1,800      (2,074)     84,237        (86,311   JPMorgan Chase

SLM Corp.

  06/20/14     5.000%        1,450      (34,684)     21,229        (55,913   JPMorgan Chase

Toll Brothers Financial Corp.

  03/20/15     1.000%        1,885      (18,358)     3,323        (21,680   Credit Suisse First Boston Corp.

Westvaco Corp.

  09/20/19     1.000%        1,650      16,166     18,287        (2,121   JPMorgan Chase
       

 

 

 

 

   

 

 

   
        $(256,154)   $ 140,538      $ (396,692  
       

 

 

 

 

   

 

 

   

Reference Entity/Obligation

 

Termination
Date

  Fixed
Rate
    Notional
Amount
(000)#(4)
   

Fair

Value(3)

  Upfont
Premiums Paid
(Received)
    Unrealized
Depreciation(5)
    Conterparty

Over-the-counter credit default swaps on credit indices—Buy Protection(1):

iTRAXX.EUR.18.V1

  12/20/17     1.000%      EUR   35,100      $(694,541)   $ 316,482      $ (1,011,023   Bank of America

iTRAXX.EUR.18.V1

  12/20/17     1.000%      EUR   35,500      (702,456)     528,926        (1,231,382   Deutsche Bank AG
       

 

 

 

 

   

 

 

   
        $(1,396,997)   $ 845,408      $ (2,242,405  
       

 

 

 

 

   

 

 

   

Reference Entity/Obligation

 

Termination
Date

  Fixed
Rate
    Notional
Amount
(000)#(4)
   

Fair
Value(3)

  Upfront
Premiums
Paid (Received)
    Unrealized
Appreciation(5)
    Counterparty

Over-the-counter credit default swaps on credit indices—Sell Protection(2):

CDX.NA.HY.17.V5

  12/20/16     5.000%        16,320      $1,315,614   $ 684,533      $ 631,081      Credit Suisse First Boston Corp.

CDX.NA.HY.17.V5

  12/20/16     5.000%        44,400      3,579,245     1,917,833        1,661,412      Deutsche Bank AG

CDX.NA.HY.17.V5

  12/20/16     5.000%        28,080      2,263,631     1,230,450        1,033,181      Deutsche Bank AG

CDX.NA.HY.17.V5

  12/20/16     5.000%        31,200      2,515,145     1,425,667        1,089,479      Deutsche Bank AG

CDX.NA.HY.18.V2

  06/20/17     5.000%        13,860      1,188,565     (1,099,175     2,287,739      Bank of America
       

 

 

 

 

   

 

 

   
        $10,862,200   $ 4,159,308      $ 6,702,892     
       

 

 

 

 

   

 

 

   

The Fund entered into credit default swaps as the protection seller on credit indices to take an active short position with respect to the likelihood of a particular issuer’s default or the referenced entity’s credit soundness.

 

(1) If the Fund is a buyer of protection, it pays the fixed rate. When a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and make delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
(2) If the Fund is a seller of protection, it receives the fixed rate. When a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
(3) The fair value of credit default swap agreements on asset-backed securities and credit indices serves as an indicator of the current status of the payment/performance risk and represents the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the reporting date. Increasing fair value in absolute terms, represents a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.
(4) Notional amount represents the maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.
(5) The amount represents fair value of derivative instruments subject to credit contracts risk exposure as of January 31, 2014.
# Notional amount is shown in US dollars unless otherwise stated.

Currency swap agreements outstanding at January 31, 2014:

 

Notional

Amount

(000)#

 

Fund

Receives

 

Notional

Amount

(000)#

   

Fund

Pays

 

Counterparty

 

Termination
Date

  Fair
Value
    Upfront
Premiums
Paid (Received)
    Unrealized
Appreciation
(Depreciation)(1)
 

Over the counter swap agreements:

  

4,206

 

3 Month LIBOR

  EUR     3,250     

3 Month EURIBOR minus 28.25 bps

 

Barclays Capital Group

  10/17/14   $ (169,442   $ —        $ (169,442

2,571

 

3 Month LIBOR

  EUR     1,980     

3 Month EURIBOR minus 30.50 bps

 

Barclays Capital Group

  12/04/14     (91,894     —          (91,894

5,552

 

3 Month LIBOR

  EUR     4,200     

3 Month EURIBOR minus 26.00 bps

 

Barclays Capital Group

  01/14/15     (100,762     —          (100,762

57,079

 

3 Month LIBOR

  EUR     43,030     

3 Month EURIBOR minus 26.25 bps

 

Barclays Capital Group

  01/25/15     (831,782     —          (831,782

196

 

3 Month LIBOR

  EUR     150     

3 Month EURIBOR minus 31.70 bps

 

Barclays Capital Group

  12/14/15     (5,719     —          (5,719


                                         

396

 

3 Month LIBOR

  EUR     300     

3 month EURIBOR minus 28.25 bps

 

Barclays Capital Group

  01/04/16     (6,988     —          (6,988

1,205

 

3 Month LIBOR

  JPY     120,000     

3 month JPY LIBOR minus 54 bps

 

Barclays Capital Group

  10/12/16     36,494        —          36,494   

TRY  14,900

 

7.700%

      7,740     

3 Month LIBOR

 

Barclays Capital Group

  07/22/18     (1,457,895     —          (1,457,895

TRY  15,740

 

7.710%

      8,185     

3 Month LIBOR

 

Barclays Capital Group

  07/23/18     (1,547,303     —          (1,547,303

5,581

 

3 Month LIBOR

  EUR     4,200     

3 Month EURIBOR minus 25.75 bps

 

Citigroup Global Markets

  01/18/15     (71,731     —          (71,731

47,692

 

3 Month LIBOR

  EUR     35,845     

3 Month EURIBOR minus 26 bps

 

Citigroup Global Markets

  01/25/15     (550,493     —          (550,493

2,491

 

3 Month LIBOR

  JPY     242,815     

3 month JPY LIBOR minus 32.75 bps

 

Citigroup Global Markets

  05/02/15     120,683        —          120,683   

448

 

3 Month LIBOR plus 333 bps

  JPY     35,000     

4.500%

 

Citigroup Global Markets

  06/08/15     104,833        (17,610     122,443   

1,284

 

3 Month LIBOR plus 313 bps

  JPY     100,000     

4.500%

 

Citigroup Global Markets

  06/08/15     277,935        (56,203     334,138   

508

 

3 Month LIBOR

  EUR     400     

3 Month EURIBOR minus 31.25 bps

 

Citigroup Global Markets

  11/15/15     (29,123     —          (29,123

2,329

 

3 Month LIBOR plus 412 bps

  EUR     1,920     

4.500%

 

Citigroup Global Markets

  11/30/15     (288,340     (21,885     (266,455

1,395

 

3 Month LIBOR

  EUR     1,060     

3 Month EURIBOR minus 30.00 bps

 

Citigroup Global Markets

  12/18/15     (28,185     —          (28,185

2,247

 

3 Month LIBOR plus 432 bps

  JPY     175,000     

3.45%

 

Citigroup Global Markets

  03/24/17     608,255        10,901        597,354   

3,030

 

3 Month LIBOR plus 220 bps

  EUR     2,485     

4.250%

 

Citigroup Global Markets

  07/14/17     (605,475     (258,837     (346,638

1,969

 

3 Month LIBOR plus 208 bps

  EUR     1,610     

4.250%

 

Citigroup Global Markets

  07/14/17     (394,484     (182,593     (211,891

4,879

 

3 Month LIBOR

  EUR     3,660     

3 Month EURIBOR minus 25.75 bps

 

Hong Kong & Shanghai Bank

  01/17/15     (46,947     —          (46,947

23,110

 

3 Month LIBOR

  EUR     17,415     

3 month EURIBOR minus 26 bps

 

Hong Kong & Shanghai Bank

  01/25/15     (328,512     —          (328,512

1,604

 

3 Month LIBOR

  CHF     1,500     

3 Month CHF LIBOR minus 29.00 bps

 

Hong Kong & Shanghai Bank

  04/24/15     (47,572     —          (47,572

TRY  30,333

 

8.68%

      14,786     

3 Month LIBOR

 

Hong Kong & Shanghai Bank

  09/05/15     (1,322,920     —          (1,322,920

TRY  82,730

 

8.69%

      39,812     

3 Month LIBOR

 

Hong Kong & Shanghai Bank

  09/09/15     (3,119,136     —          (3,119,136

275

 

3 Month LIBOR

  EUR     210     

3 Month EURIBOR minus 30.50 bps

 

Hong Kong & Shanghai Bank

  12/17/15     (6,239     —          (6,239

1,993

 

3 Month LIBOR

  EUR     1,550     

3 Month EURIBOR minus 31.75 bps

 

Hong Kong & Shanghai Bank

  09/28/17     (79,303     —          (79,303

7,872

 

3 Month LIBOR

  EUR     6,000     

3 Month EURIBOR minus 28.375 bps

 

JPMorgan Chase

  10/19/14     (206,138     —          (206,138

762

 

3 Month LIBOR

  EUR     600     

3 Month EURIBOR minus 31.25 bps

 

JPMorgan Chase

  11/15/14     (44,522     —          (44,522

1,164

 

3 Month LIBOR plus 398 bps

  EUR     950     

4.500%

 

JPMorgan Chase

  11/30/15     (133,223     (20,152     (113,071
             

 

 

   

 

 

   

 

 

 
              $   (10,365,928)      $   (546,379)      $   (9,819,549)   
             

 

 

   

 

 

   

 

 

 

 

# Notional Amount is shown in U.S. dollars unless otherwise stated.
(1) The amount represents fair value of derivative instruments subject to interest rate contracts risk exposure as of January 31, 2014.


Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in the three broad levels listed below.

Level 1 - quoted prices generally in active markets for identical securities.

Level 2 - other significant observable inputs including, but not limited to, quoted prices for similar securities, interest rates and yield curves, prepayment speeds, foreign currency exchange rates, and amortized cost.

Level 3 - significant unobservable inputs for securities valued in accordance with Board approved fair valuation procedures.

The following is a summary of the inputs used as of January 31, 2014 in valuing such portfolio securities:

 

     Level 1      Level 2     Level 3  

Investments in Securities

       

Asset-Backed Securities

       

Collateralized Debt Obligations

   $ —         $ 2,235,012      $ —     

Collateralized Loan Obligations

     —           257,047,879        —     

Non-Residential Mortgage-Backed Securities

     —           17,581,566        —     

Residential Mortgage-Backed Securities

     —           199,886,832        —     

Bank Loans

     —           70,762,804        9,201,677   

Commercial Mortgage-Backed Securities

     —           329,955,650        10,308,000   

Corporate Bonds

     —           1,263,319,748        11,241,536   

Covered Bonds

     —           6,379,103        —     

Foreign Agencies

     —           87,998,779        —     

Municipal Bonds

     —           64,029,768        —     

Sovereign Bonds

     —           193,864,877        —     

U.S. Government Agency Obligations

     —           65,979,751        —     

U.S. Treasury Obligations

     —           170,144,887        —     

Preferred Stock

     596,860         —          —     

Affiliated Mutual Funds

     337,577,145         —          —     

Other Financial Instruments*

       

Futures Contracts

     5,421,836         —          —     

Forward Foreign Currency Exchange Contracts

     —           (2,444,531     —     

Interest Rate Swap Agreements

     —           (6,271,743     —     

Credit Default Swap Agreements

     —           489,047        (2,197

Currency Swap Agreements

     —           (9,819,549     —     
  

 

 

    

 

 

   

 

 

 

Total

   $   343,595,841       $   2,711,139,880      $   30,749,016   
  

 

 

    

 

 

   

 

 

 


The following is a reconciliation of assets in which significant unobservable inputs (Level 3) were used in determining fair value:

 

    Commercial
Mortgage-Backed
Securities
    Collateralized
Loan Obligations
    Bank Loans     Corporate Bonds     Credit Default
Swap Agreements
 

Balance as of 10/31/13

    —        $ 25,779,551      $   9,036,373      $   11,202,375      $ (4,345

Realized gain (loss)

    —          —          —          —          —   ** 

Change in unrealized appreciation (depreciation)***

    8,042        —          174,350        245,242        2,148   

Purchases

    10,299,958        —          —          —          —     

Sales

    —          —          (9,046     (206,081     —     

Accrued discount/premium

    —          —          —          —          —     

Transfers into Level 3

    —          —          —          —          —     

Transfers out of Level 3

    —          (25,779,551     —          —          —     
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Balance as of 01/31/14

  $ 10,308,000      $ —        $ 9,201,677      $ 11,241,536      $ (2,197
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

* Other financial instruments are derivative instruments not reflected in the Schedule of Investments, such as futures, forwards and swap contracts, which are recorded at the unrealized appreciation/depreciation on the instrument.
** The realized loss incurred during the period for other financial instruments was $(2,212).
*** Of which, $429,782 was included in Net Assets relating to securities held at the reporting period end.

It is the fund’s policy to recognize transfers in and transfers out at the fair value as of the beginning of period. At the reporting period end, there were 2 Collateralized Loan Obligations transferred out of Level 3 as a result of the securities no longer using a single broker quote and being priced by the primary valuation vendor source.

Included in the table above, under Level 3, are securities that were fair valued using pricing methodologies approved by the Valuation Committee, which contain unobservable inputs. Such methodologies include, but are not limited to, using prices provided by a single broker/dealer, the cost of the investment, and prices of any recent transactions or bids/offers for such securities or any comparable securities.


Notes to Schedules of Investments (Unaudited)

Security Valuation : Each Fund holds securities and other assets that are fair valued at the close of each day the New York Stock Exchange (“NYSE”) is open for trading. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants on the measurement date. The Board of Directors (the “Board”) has adopted Valuation Procedures for security valuation under which fair valuation responsibilities have been delegated to Prudential Investments LLC (“PI” or “Manager”). Under the current Valuation Procedures, the established Valuation Committee is responsible for supervising the valuation of portfolio securities and other assets. The Valuation Procedures permit the Fund to utilize independent pricing vendor services, quotations from market makers, and alternative valuation methods when market quotations are either not readily available or not deemed representative of fair value. A record of the Valuation Committee’s actions is subject to the Board’s review, approval, and ratification at its next regularly-scheduled quarterly meeting.

Various inputs determine how each Fund’s investments are valued, all of which are categorized according to the three broad levels (Level 1, 2, or 3) detailed in the table following the Schedule of Investments.

Common stocks, exchange-traded funds, and derivative instruments that are traded on a national securities exchange are valued at the last sale price as of the close of trading on the applicable exchange. Securities traded via NASDAQ are valued at the NASDAQ official closing price. To the extent these securities are valued at the last sale price or NASDAQ official closing price; they are classified as Level 1 in the fair value hierarchy.

In the event that no sale or official closing price on valuation date exists, these securities are generally valued at the mean between the last reported bid and asked prices, or at the last bid price in the absence of an asked price. These securities are classified as Level 2 in the fair value hierarchy, as the inputs are observable and considered to be significant to the valuation.

Common stocks traded on foreign securities exchanges are valued using pricing vendor services that provide model prices derived using adjustment factors based on information such as local closing price, relevant general and sector indices, currency fluctuations, depositary receipts, and futures, as applicable. Securities valued using such model prices are classified as Level 2 in the fair value hierarchy, as the adjustment factors are observable and considered to be significant to the valuation.

Investments in open-end, non-exchange-traded mutual funds are valued at their net asset values as of the close of the NYSE on the date of valuation. These securities are classified as Level 1 in the fair value hierarchy since they may be purchased or sold at their net asset values on the date of valuation.

Fixed income securities traded in the over-the-counter market are generally valued at prices provided by approved independent pricing vendors. The pricing vendors provide these prices after evaluating observable inputs including, but not limited to yield curves, yield spreads, credit ratings, deal terms, tranche level attributes, default rates, cash flows, prepayment speeds, broker/dealer quotations, and reported trades. Securities valued using such vendor prices are classified as Level 2 in the fair value hierarchy.

Over-the-counter derivative instruments are generally valued using pricing vendor services, which derive the valuation based on inputs such as underlying asset prices, indices, spreads, interest rates, and exchange rates. These instruments are categorized as Level 2 in the fair value hierarchy.

Portfolio securities and other assets that cannot be priced according to the methods described above are valued based on pricing methodologies approved by the Board. In the event that significant unobservable inputs are used when determining such valuations, the securities will be classified as Level 3 in the fair value hierarchy.

When determining the fair value of securities, some of the factors influencing the valuation include: the nature of any restrictions on disposition of the securities; assessment of the general liquidity of the securities; the issuer’s financial condition and the markets in which it does business; the cost of the investment; the size of the holding and the capitalization of the issuer; the prices of any recent transactions or bids/offers for such securities or any comparable securities; any available analyst media or other reports or information deemed reliable by the investment adviser regarding the issuer or the markets or industry in which it operates. Using fair value to price securities may result in a value that is different from a security’s most recent closing price and from the price used by other mutual funds to calculate their net asset values.


Subject to guidelines adopted by the Board, each Fund may hold up to 15% of its net assets in illiquid securities, including those which are restricted as to disposition under securities law (“restricted securities”). Restricted securities are valued pursuant to the valuation procedures noted above.

Certain Funds invest in the Prudential Core Short-Term Bond Fund, pursuant to an exemptive order received from the Securities and Exchange Commission, and in the Prudential Core Taxable Money Market Fund, each a portfolio of the Prudential Investment Portfolios 2, registered under the Investment Company Act of 1940, as amended, and managed by PI.

Other information regarding the Funds is available in the Funds’ most recent Report to Shareholders. This information is available on the Securities and Exchange Commission’s website (www.sec.gov).


Item 2. Controls and Procedures

 

  (a) It is the conclusion of the registrant’s principal executive officer and principal financial officer that the effectiveness of the registrant’s current disclosure controls and procedures (such disclosure controls and procedures having been evaluated within 90 days of the date of this filing) provide reasonable assurance that the information required to be disclosed by the registrant has been recorded, processed, summarized and reported within the time period specified in the Commission’s rules and forms and that the information required to be disclosed by the registrant has been accumulated and communicated to the registrant’s principal executive officer and principal financial officer in order to allow timely decisions regarding required disclosure.

 

  (b) There have been no significant changes in the registrant’s internal controls or in other factors that could significantly affect these controls subsequent to the date of their evaluation, including any corrective actions with regard to significant deficiencies and material weaknesses.

Item 3. Exhibits

Certifications pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 – Attached hereto.


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant) Prudential Investment Portfolios, Inc. 17   
By (Signature and Title)*   

/s/ Deborah A. Docs

  
   Deborah A. Docs   
   Secretary of the Fund   
Date March 21, 2014   

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By (Signature and Title)*   

/s/ Stuart S. Parker

  
   Stuart S. Parker   
   President and Principal Executive Officer   
Date March 21, 2014   
By (Signature and Title)*   

/s/ Grace C. Torres

  
   Grace C. Torres   
   Treasurer and Principal Financial Officer   
Date March 21, 2014   

 

* Print the name and title of each signing officer under his or her signature.
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