UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
|
(Mark One)
|
|
x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |
For the calendar year ended December 31, 2014
|
|
OR
|
|
o TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | |
For the transition period from ____________ to ____________
|
|
Commission File Number: 1-4423
|
|
A. | Full title of the plan and address of the plan, if different from that of the issuer named below: |
HEWLETT-PACKARD COMPANY 401(k) PLAN
|
|
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
HEWLETT-PACKARD COMPANY
3000 HANOVER STREET
PALO ALTO, CALIFORNIA 94304
|
|
|
Report of Independent Registered Public Accounting Firm
|
1
|
|
|
Audited Financial Statements
|
|
|
|
Statements of Net Assets Available for Benefits
|
2
|
Statement of Changes in Net Assets Available for Benefits
|
3
|
Notes to Financial Statements
|
4
|
Supplemental Schedule | |
Schedule H, Part IV, Line 4i – Schedule of Assets (Held at End of Year) | 22 |
Signature | 87 |
Exhibit Index | |
Exhibit 23.1 — Consent of Independent Registered Public Accounting Firm |
|
|
/s/ Ernst & Young LLP
|
December 31,
|
||||||||
2014
|
2013
|
|||||||
Assets
|
(In thousands)
|
|||||||
Cash
|
$
|
4,075
|
$
|
4,859
|
||||
Investments, at fair value
|
17,363,478
|
16,569,462
|
||||||
Receivables:
|
||||||||
Notes receivable from participants
|
227,914
|
232,776
|
||||||
Due from broker for securities sold
|
43,402
|
49,589
|
||||||
Employer contributions
|
33,615
|
34,066
|
||||||
Participant contributions
|
17,272
|
17,698
|
||||||
Interest, dividends, and other
|
31,389
|
29,115
|
||||||
Total receivables
|
353,592
|
363,244
|
||||||
Total assets
|
17,721,145
|
16,937,565
|
||||||
Liabilities
|
||||||||
Due to broker for securities purchased
|
95,875
|
99,758
|
||||||
Administrative expenses and other payables
|
16,723
|
8,904
|
||||||
Total liabilities
|
112,598
|
108,662
|
||||||
Net assets available for benefits
|
$
|
17,608,547
|
$
|
16,828,903
|
||||
See accompanying notes.
|
Additions
|
(In thousands)
|
|||
Investment income:
|
||||
Net realized and unrealized appreciation in fair value of investments
|
$
|
1,023,234
|
||
Interest and dividends
|
298,930
|
|||
Total investment income
|
1,322,164
|
|||
Contributions:
|
||||
Employer
|
237,116
|
|||
Participants
|
600,626
|
|||
Rollovers
|
65,506
|
|||
Total contributions
|
903,248
|
|||
Interest income on notes receivable from participants
|
10,263
|
|||
Total additions
|
2,235,675
|
|||
Deductions
|
||||
Benefits paid directly to participants
|
1,421,739
|
|||
Investment management fees
|
35,371
|
|||
Administrative expenses
|
5,768
|
|||
Total deductions
|
1,462,878
|
|||
Net increase in net assets before plan merger
|
772,797
|
|||
Transfer in from Microlink, LLC 401(k) Profit Sharing Plan & Trust
|
6,847
|
|||
Net increase in net assets after plan merger
|
779,644
|
|||
Net assets available for benefits:
|
||||
Beginning of year
|
16,828,903
|
|||
End of year
|
$
|
17,608,547
|
||
See accompanying notes.
|
December 31,
|
||||||||
2014
|
2013
|
|||||||
(In thousands)
|
||||||||
Vanguard Primecap Adm Fund
|
$
|
1,100,292
|
$
|
995,731
|
||||
Blackrock Russell 1000 Index Fund
|
1,990,206
|
1,814,207
|
(In thousands)
|
||||
Mutual funds
|
$
|
162,635
|
||
Common collective trust funds
|
281,212
|
|||
Partnership interest
|
7,285
|
|||
Exchange-traded funds
|
(829
|
)
|
||
HP Common Stock
|
216,550
|
|||
Common and preferred stock
|
328,809
|
|||
Corporate debt
|
1,585
|
|||
Foreign obligations
|
(904
|
)
|
||
U.S. government securities
|
18,588
|
|||
State and municipal bond funds
|
4,456
|
|||
Self-directed brokerage accounts
|
4,623
|
|||
Derivatives
|
(776
|
)
|
||
Total net realized and unrealized appreciation in the fair value of investments
|
$
|
1,023,234
|
As of December 31, 2014 (In thousands)
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Assets
|
||||||||||||
Mutual funds:
|
||||||||||||
Growth funds
|
$
|
1,622,540
|
$
|
51,329
|
$
|
1,673,869
|
||||||
Fixed-income funds
|
337,065
|
359,374
|
696,439
|
|||||||||
Total mutual funds
|
1,959,605
|
410,703
|
2,370,308
|
|||||||||
Self-directed brokerage accounts:
|
||||||||||||
Mutual funds:
|
||||||||||||
Index funds
|
48,702
|
-
|
48,702
|
|||||||||
Growth funds
|
122,467
|
-
|
122,467
|
|||||||||
Fixed-income funds
|
141,639
|
-
|
141,639
|
|||||||||
Value funds
|
66,847
|
-
|
66,847
|
|||||||||
Industry-specific funds
|
68,358
|
-
|
68,358
|
|||||||||
Other funds
|
43,057
|
-
|
43,057
|
|||||||||
Total self-directed brokerage accounts
|
491,070
|
-
|
491,070
|
|||||||||
Common collective trusts:
|
||||||||||||
Index funds
|
-
|
3,582,431
|
3,582,431
|
|||||||||
Growth funds
|
-
|
451,034
|
451,034
|
|||||||||
Total common collective trusts
|
-
|
4,033,465
|
4,033,465
|
|||||||||
Exchange-traded funds - Growth funds
|
5,176
|
-
|
5,176
|
|||||||||
HP common stock
|
684,236
|
-
|
684,236
|
|||||||||
Short-term investments
|
-
|
755,785
|
755,785
|
|||||||||
Foreign obligations
|
-
|
43,788
|
43,788
|
|||||||||
Pooled separate accounts
|
-
|
6,847
|
6,847
|
As of December 31, 2014 (In thousands)
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Common and preferred stocks:
|
||||||||||||
Basic materials
|
$
|
175,182
|
$
|
-
|
$
|
175,182
|
||||||
Communications
|
823,985
|
-
|
823,985
|
|||||||||
Consumer goods
|
1,983,297
|
-
|
1,983,297
|
|||||||||
Diversified
|
8,675
|
-
|
8,675
|
|||||||||
Energy
|
377,217
|
-
|
377,217
|
|||||||||
Financial
|
1,598,721
|
-
|
1,598,721
|
|||||||||
Industrial
|
700,512
|
-
|
700,512
|
|||||||||
Technology
|
582,342
|
-
|
582,342
|
|||||||||
Utilities
|
120,509
|
-
|
120,509
|
|||||||||
Total common and preferred stocks
|
6,370,440
|
-
|
6,370,440
|
|||||||||
Corporate debt:
|
||||||||||||
Basic materials
|
-
|
38,724
|
38,724
|
|||||||||
Communications
|
-
|
209,883
|
209,883
|
|||||||||
Consumer goods
|
-
|
228,710
|
228,710
|
|||||||||
Energy
|
-
|
115,959
|
115,959
|
|||||||||
Financial
|
-
|
320,978
|
320,978
|
|||||||||
Industrial
|
-
|
88,720
|
88,720
|
|||||||||
Technology
|
-
|
31,907
|
31,907
|
|||||||||
Utilities
|
-
|
26,574
|
26,574
|
|||||||||
Total corporate debt
|
-
|
1,061,455
|
1,061,455
|
|||||||||
U.S. government securities:
|
||||||||||||
Federal
|
-
|
1,490,821
|
1,490,821
|
|||||||||
Municipal
|
-
|
43,645
|
43,645
|
|||||||||
Total U.S. government securities
|
-
|
1,534,466
|
1,534,466
|
|||||||||
Derivative assets
|
207
|
11,232
|
11,439
|
|||||||||
Total assets
|
$
|
9,510,734
|
$
|
7,857,741
|
$
|
17,368,475
|
||||||
Liabilities
|
||||||||||||
Derivative liabilities
|
$
|
489
|
$
|
4,508
|
$
|
4,997
|
||||||
Total liabilities
|
$
|
489
|
$
|
4,508
|
$
|
4,997
|
As of December 31, 2013 (In thousands)
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Assets
|
||||||||||||
Mutual funds:
|
||||||||||||
Growth funds
|
$
|
1,523,864
|
$
|
46,438
|
$
|
1,570,302
|
||||||
Fixed-income funds
|
332,190
|
346,655
|
678,845
|
|||||||||
Other funds
|
85,233
|
-
|
85,233
|
|||||||||
Total mutual funds
|
1,941,287
|
393,093
|
2,334,380
|
|||||||||
Self-directed brokerage accounts:
|
||||||||||||
Mutual funds:
|
||||||||||||
Index funds
|
32,815
|
-
|
32,815
|
|||||||||
Growth funds
|
121,381
|
-
|
121,381
|
|||||||||
Fixed-income funds
|
126,321
|
-
|
126,321
|
|||||||||
Value funds
|
60,265
|
-
|
60,265
|
|||||||||
Industry-specific funds
|
45,002
|
-
|
45,002
|
|||||||||
Other funds
|
30,218
|
-
|
30,218
|
|||||||||
Total self-directed brokerage accounts
|
416,002
|
-
|
416,002
|
|||||||||
Common collective trusts:
|
||||||||||||
Index funds
|
-
|
3,411,678
|
3,411,678
|
|||||||||
Growth funds
|
-
|
463,045
|
463,045
|
|||||||||
Total common collective trusts
|
-
|
3,874,723
|
3,874,723
|
|||||||||
Partnership interest - Energy
|
-
|
88,443
|
88,443
|
|||||||||
Exchange-traded funds - Growth funds
|
40,551
|
-
|
40,551
|
|||||||||
HP common stock
|
523,810
|
-
|
523,810
|
|||||||||
Repurchase agreements
|
-
|
50,700
|
50,700
|
|||||||||
Short-term investments
|
-
|
782,799
|
782,799
|
|||||||||
Foreign obligations
|
-
|
28,071
|
28,071
|
As of December 31, 2013 (In thousands)
|
||||||||||||
Level 1
|
Level 2
|
Total
|
||||||||||
Common and preferred stocks:
|
||||||||||||
Basic materials
|
$
|
193,336
|
$
|
-
|
$
|
193,336
|
||||||
Communications
|
812,793
|
-
|
812,793
|
|||||||||
Consumer goods
|
1,767,137
|
-
|
1,767,137
|
|||||||||
Diversified
|
13,785
|
-
|
13,785
|
|||||||||
Energy
|
422,747
|
-
|
422,747
|
|||||||||
Financial
|
1,442,857
|
-
|
1,442,857
|
|||||||||
Industrial
|
738,275
|
-
|
738,275
|
|||||||||
Technology
|
501,683
|
-
|
501,683
|
|||||||||
Utilities
|
89,878
|
-
|
89,878
|
|||||||||
Total common and preferred stocks
|
5,982,491
|
-
|
5,982,491
|
|||||||||
Corporate debt:
|
||||||||||||
Basic materials
|
-
|
41,327
|
41,327
|
|||||||||
Communications
|
-
|
185,787
|
185,787
|
|||||||||
Consumer goods
|
-
|
199,578
|
199,578
|
|||||||||
Energy
|
-
|
116,085
|
116,085
|
|||||||||
Financial
|
-
|
310,359
|
310,359
|
|||||||||
Industrial
|
-
|
85,665
|
85,665
|
|||||||||
Technology
|
-
|
33,699
|
33,699
|
|||||||||
Utilities
|
-
|
19,434
|
19,434
|
|||||||||
Total corporate debt
|
-
|
991,934
|
991,934
|
|||||||||
U.S. government securities:
|
||||||||||||
Federal
|
-
|
1,412,017
|
1,412,017
|
|||||||||
Municipal
|
-
|
44,322
|
44,322
|
|||||||||
Total U.S. government securities
|
-
|
1,456,339
|
1,456,339
|
|||||||||
Derivative assets
|
1,926
|
2,653
|
4,579
|
|||||||||
Total assets
|
$
|
8,906,067
|
$
|
7,668,755
|
$
|
16,574,822
|
||||||
Liabilities
|
||||||||||||
Derivative liabilities
|
$
|
2,282
|
$
|
3,078
|
$
|
5,360
|
||||||
Total liabilities
|
$
|
2,282
|
$
|
3,078
|
$
|
5,360
|
December 31, 2014
|
||||||||||||
Assets
|
Liabilities
|
Notional
|
||||||||||
(In thousands)
|
||||||||||||
Forward contracts
|
$
|
6,648
|
$
|
2,495
|
$
|
541,210
|
||||||
Futures contracts
|
207
|
489
|
661,000
|
|||||||||
Interest rate swaps
|
3,685
|
1,517
|
116,889
|
|||||||||
Credit default swaps
|
677
|
108
|
51,975
|
|||||||||
Option contracts
|
222
|
388
|
64,500
|
|||||||||
$
|
11,439
|
$
|
4,997
|
$
|
1,435,574
|
December 31, 2013
|
||||||||||||
Assets
|
Liabilities
|
Notional
|
||||||||||
(In thousands)
|
||||||||||||
Forward contracts
|
$
|
2,438
|
$
|
1,570
|
$
|
438,282
|
||||||
Futures contracts
|
1,510
|
2,282
|
1,661,300
|
|||||||||
Interest rate swaps
|
430
|
-
|
15,115
|
|||||||||
Credit default swaps
|
171
|
1,038
|
22,793
|
|||||||||
Option contracts
|
30
|
470
|
1,375,800
|
|||||||||
$
|
4,579
|
$
|
5,360
|
$
|
3,513,290
|
Futures contracts
|
$
|
(1,939
|
)
|
|
Options contracts
|
56
|
|||
Forward contracts
|
(286
|
)
|
||
Interest rate and credit default swaps
|
1,393
|
|||
Total
|
$
|
(776
|
)
|
Gross
|
Gross
|
Gross Amounts Not Offset
|
||||||||||||||||||||||
Amount
|
Amount
|
Net Amount
|
Financial
|
Financial
|
Net
|
|||||||||||||||||||
(In thousands)
|
Recognized
|
Offset
|
Presented
|
Instruments
|
Collateral
|
Amount
|
||||||||||||||||||
December 31, 2014
|
||||||||||||||||||||||||
Derivative assets
|
$
|
11,439
|
$
|
-
|
$
|
11,439
|
$
|
3,599
|
$
|
1,420
|
$
|
6,420
|
||||||||||||
Derivative liabilities
|
4,997
|
-
|
4,997
|
3,599
|
1,256
|
142
|
||||||||||||||||||
December 31, 2013
|
||||||||||||||||||||||||
Derivative assets
|
$
|
4,579
|
$
|
-
|
$
|
4,579
|
$
|
1,785
|
$
|
-
|
$
|
2,794
|
||||||||||||
Derivative liabilities
|
5,360
|
-
|
5,360
|
1,785
|
1,258
|
2,317
|
||||||||||||||||||
Repurchase agreements
|
50,700
|
-
|
50,700
|
-
|
-
|
50,700
|
December 31,
|
||||||||
2014
|
2013
|
|||||||
(In thousands)
|
||||||||
Net assets available for benefits per the financial statements
|
$
|
17,608,547
|
$
|
16,828,903
|
||||
Benefits payable to participants at year-end
|
(5,770
|
)
|
(4,422
|
)
|
||||
Net assets available for benefits per Form 5500
|
$
|
17,602,777
|
$
|
16,824,481
|
(In thousands)
|
||||
Benefits paid to participants per financial statements
|
$
|
1,421,739
|
||
Add: Benefits payable to participants at December 31, 2014
|
5,770
|
|||
Less: Benefits payable to participants at December 31, 2013
|
(4,422
|
)
|
||
Total benefits paid to participants per the Form 5500
|
$
|
1,423,087
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Short-Term Investments:
|
|||||||||||||
DREYFUS GOV PRIME CSH MGT INS, VAR RT 12/31/2019
|
271,014,486
|
shares
|
$
|
271,014,486
|
|||||||||
VANGUARD PRIME MMKT-INST
|
484,770,712
|
shares
|
484,770,712
|
||||||||||
Total Short-Term Investments
|
$
|
755,785,198
|
|||||||||||
Mutual Funds:
|
|||||||||||||
PIMCO ASSET BKD SECS PORTFOLIO
|
3,512,023
|
shares
|
$
|
43,022,277
|
|||||||||
DODGE & COX INTL STOCK FUND
|
12,402,000
|
shares
|
522,248,204
|
||||||||||
PIMCO EMERGING MKTS PORT FOLIO INSTL
|
1,729,537
|
shares
|
16,707,331
|
||||||||||
PIMCO HIGH YIELD PORTFOLIO INSTL CL
|
1,136,481
|
shares
|
8,455,419
|
||||||||||
PIMCO INTL PORT
|
7,109,227
|
shares
|
34,621,934
|
||||||||||
PIMCO INVT GRADE CORP PORTFOLIO INS
|
6,036,548
|
shares
|
60,546,580
|
||||||||||
PIMCO MTG PORTFOLIO INSTL CL
|
9,553,556
|
shares
|
103,656,079
|
||||||||||
PIMCO MUNICIPAL SECTOR PORTFOLIO
|
546,906
|
shares
|
4,495,571
|
||||||||||
PIMCO REAL RETURN FUND-INST
|
30,866,734
|
shares
|
337,064,736
|
||||||||||
PIMCO REAL RETURN BD PORT INSTL CL
|
5,928,251
|
shares
|
51,990,762
|
||||||||||
PIMCO SHORT TERM PORTFOLIO INSTL CL
|
2,327,595
|
shares
|
22,135,428
|
||||||||||
PIMCO US GOVT SECT PORTFOLIO INSTR
|
6,974,519
|
shares
|
65,072,266
|
||||||||||
VANGUARD PRIMECAP FUND-ADM
|
10,326,530
|
shares
|
1,100,291,785
|
||||||||||
Total Mutual Funds
|
$
|
2,370,308,372
|
|||||||||||
Exchange Traded Funds:
|
|||||||||||||
ISHARES MSCI EAFE ETF
|
66,582
|
shares
|
$
|
4,050,849
|
|||||||||
ISHARES MSCI EMERGING MARKET
|
28,619
|
shares
|
1,124,440
|
||||||||||
Total Exchange Traded Funds
|
$
|
5,175,289
|
|||||||||||
HP Stock:
|
|||||||||||||
*
|
HEWLETT-PACKARD CO
|
17,050,495
|
shares
|
$
|
684,236,364
|
||||||||
Common Collective Trust Funds:
|
|||||||||||||
BLACKROCK US DEBT INDEX
|
13,151,013
|
units
|
$ |
381,651,589
|
|||||||||
BGI MSCI ACWI EX-US INDEX SUPERFUND F
|
19,249,765
|
units
|
410,318,357
|
||||||||||
BLACKROCK RUSSELL 2500 INDEX
|
37,509,931
|
units
|
800,255,054
|
||||||||||
BLACKROCK RUSSELL 1000 INDEX FD CL F
|
80,687,195
|
units
|
1,990,206,154
|
||||||||||
JP MORGAN FOCUS
|
13,132,495
|
units
|
226,141,564
|
||||||||||
LAZARD EMERGING MARKETS CL C
|
13,687,903
|
units
|
224,892,252
|
||||||||||
Total Common Collective Trust Funds
|
$
|
4,033,464,970
|
|||||||||||
Common Stock:
|
|||||||||||||
APOLLO GLOBAL MANAGEMENT LLC
|
390,050
|
shares
|
$
|
9,197,379
|
|||||||||
LXB RETAIL PROPERTIES PLC
|
311,722
|
shares
|
670,752
|
||||||||||
51JOB INC ADR
|
21,983
|
shares
|
788,091
|
||||||||||
AALBERTS INDUSTRIES NV
|
8,705
|
shares
|
258,439
|
||||||||||
ABBOTT LABORATORIES
|
335,172
|
shares
|
15,089,443
|
||||||||||
ABBVIE INC
|
53,761
|
shares
|
3,518,120
|
||||||||||
ABCAM PLC
|
19,786
|
shares
|
143,690
|
||||||||||
ABC-MART INC
|
13,200
|
shares
|
641,862
|
||||||||||
ABERDEEN ASSET MANAGEMENT PLC
|
205,792
|
shares
|
1,386,848
|
||||||||||
ABIOMED INC
|
198,868
|
shares
|
7,568,916
|
||||||||||
ABRIL EDUCACAO SA
|
55,902
|
shares
|
239,111
|
||||||||||
ACADIA REALTY TRUST
|
16,759
|
shares
|
536,791
|
||||||||||
ACCIONA SA
|
1,735
|
shares
|
117,988
|
||||||||||
ACE LTD
|
48,944
|
shares
|
5,622,687
|
||||||||||
ACI WORLDWIDE INC
|
306,450
|
shares
|
6,181,097
|
||||||||||
ACS ACTIVIDADES DE CONSTRUCCIO
|
53,499
|
shares
|
1,875,415
|
||||||||||
ACTAVIS PLC
|
58,893
|
shares
|
15,159,647
|
||||||||||
ACTELION LTD
|
24,925
|
shares
|
2,892,218
|
||||||||||
ACTIVIA PROPERTIES INC
|
108
|
shares
|
942,224
|
||||||||||
ACTIVISION BLIZZARD INC
|
148,680
|
shares
|
2,995,902
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||||
ADMIRAL GROUP PLC
|
12,760
|
shares
|
$ |
263,026
|
|||||||||
ADOBE SYSTEMS INC
|
288,314
|
shares
|
20,960,428
|
||||||||||
ADT CORP/THE
|
410,105
|
shares
|
14,858,104
|
||||||||||
ADVANCE AUTO PARTS INC
|
21,124
|
shares
|
3,364,631
|
||||||||||
ADVANCE RESIDENCE INVESTMENT C
|
131
|
shares
|
350,732
|
||||||||||
ADVANTECH CO LTD
|
76,463
|
shares
|
567,387
|
||||||||||
ADVISORY BOARD CO/THE
|
141,925
|
shares
|
6,951,487
|
||||||||||
AEGON NV
|
232,091
|
shares
|
1,757,788
|
||||||||||
AEGON NV
|
745,507
|
shares
|
5,591,303
|
||||||||||
AEON FINANCIAL SERVICE CO LTD
|
26,600
|
shares
|
532,910
|
||||||||||
AEON MALL CO LTD
|
4,000
|
shares
|
71,529
|
||||||||||
AEON THANA SINSAP THAILAND PCL
|
106,700
|
shares
|
351,883
|
||||||||||
AERCAP HOLDINGS NV
|
545,000
|
shares
|
21,156,900
|
||||||||||
AES CORP/VA
|
971,577
|
shares
|
13,378,615
|
||||||||||
AFFILIATED MANAGERS GROUP INC
|
54,310
|
shares
|
11,526,754
|
||||||||||
AGCO CORP
|
223,318
|
shares
|
10,093,974
|
||||||||||
AGGREKO PLC
|
342,570
|
shares
|
8,033,650
|
||||||||||
AGNICO EAGLE MINES LIMITED
|
6,596
|
shares
|
164,694
|
||||||||||
AIA GROUP LTD
|
3,316,200
|
shares
|
18,452,198
|
||||||||||
AIR FRANCE-KLM ADR
|
1,065,700
|
shares
|
10,092,179
|
||||||||||
AIR WATER INC
|
73,000
|
shares
|
1,166,587
|
||||||||||
AIRBUS GROUP NV
|
54,783
|
shares
|
2,741,098
|
||||||||||
AIXTRON SE
|
159,678
|
shares
|
1,810,456
|
||||||||||
AJISEN CHINA HOLDINGS LTD
|
478,963
|
shares
|
365,019
|
||||||||||
AK STEEL HOLDING CORP
|
333,385
|
shares
|
1,980,307
|
||||||||||
ALCATEL-LUCENT ADR
|
333,381
|
shares
|
1,183,503
|
||||||||||
ALCATEL-LUCENT
|
441,436
|
shares
|
1,586,454
|
||||||||||
ALEXANDRIA REAL ESTATE EQUITIE
|
10,480
|
shares
|
929,995
|
||||||||||
ALEXION PHARMACEUTICALS INC
|
72,619
|
shares
|
13,436,694
|
||||||||||
ALFA LAVAL AB
|
289,741
|
shares
|
5,488,914
|
||||||||||
ALIBABA GROUP HOLDING LTD
|
258,007
|
shares
|
26,817,248
|
||||||||||
ALIGN TECHNOLOGY INC
|
128,000
|
shares
|
7,156,480
|
||||||||||
ALIMENTATION COUCHE-TARD INC
|
29,757
|
shares
|
1,250,912
|
||||||||||
ALLEGIANT TRAVEL CO
|
41,251
|
shares
|
6,201,263
|
||||||||||
ALLERGAN INC/UNITED STATES
|
103,440
|
shares
|
21,990,310
|
||||||||||
ALLETE INC
|
90,940
|
shares
|
5,014,432
|
||||||||||
ALLSTATE CORP/THE
|
225,664
|
shares
|
15,852,896
|
||||||||||
ALNYLAM PHARMACEUTICALS INC
|
14,500
|
shares
|
1,406,500
|
||||||||||
ALSTRIA OFFICE REIT-AG
|
8,210
|
shares
|
102,325
|
||||||||||
ALTAREA SCA
|
376
|
shares
|
59,875
|
||||||||||
ALTICE SA
|
2,495
|
shares
|
197,025
|
||||||||||
ALUPAR INVESTIMENTO SA
|
41,497
|
shares
|
275,377
|
||||||||||
AMADA CO LTD
|
56,000
|
shares
|
484,357
|
||||||||||
AMADEUS FIRE AG
|
6,605
|
shares
|
498,725
|
||||||||||
AMADEUS IT HOLDING SA
|
111,543
|
shares
|
4,465,569
|
||||||||||
AMAZON.COM INC
|
69,565
|
shares
|
21,589,498
|
||||||||||
AMERICAN EAGLE OUTFITTERS INC
|
228,391
|
shares
|
3,170,067
|
||||||||||
AMERICAN EXPRESS CO
|
82,600
|
shares
|
7,685,104
|
||||||||||
AMERICAN FINANCIAL GROUP INC/O
|
87,435
|
shares
|
5,309,053
|
||||||||||
AMERICAN HOMES 4 RENT
|
67,832
|
shares
|
1,155,179
|
||||||||||
AMERICAN INTERNATIONAL GROUP I
|
285,900
|
shares
|
16,013,259
|
||||||||||
AMERICAN NATIONAL INSURANCE CO
|
47,745
|
shares
|
5,455,344
|
||||||||||
AMERICAN REALTY CAPITAL HEAL
|
41,761
|
shares
|
496,956
|
||||||||||
AMERICAN REALTY CAPITAL PROPER
|
234,500
|
shares
|
2,122,225
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
AMERICAN TOWER CORP
|
106,807
|
shares
|
$ |
10,557,872
|
||||||
AMERIPRISE FINANCIAL INC
|
48,600
|
shares
|
6,427,350
|
|||||||
AMGEN INC
|
55,600
|
shares
|
8,856,524
|
|||||||
AMLIN PLC
|
91,750
|
shares
|
684,119
|
|||||||
AMTRUST FINANCIAL SERVICES INC
|
68,965
|
shares
|
3,879,281
|
|||||||
ANA HOLDINGS INC
|
1,056,000
|
shares
|
2,636,147
|
|||||||
ANADARKO PETROLEUM CORP
|
16,200
|
shares
|
1,336,500
|
|||||||
ANHEUSER-BUSCH INBEV NV
|
3,852
|
shares
|
437,492
|
|||||||
ANN INC
|
90,380
|
shares
|
3,297,062
|
|||||||
ANSELL LTD
|
48,467
|
shares
|
893,210
|
|||||||
AO SMITH CORP
|
46,466
|
shares
|
2,621,147
|
|||||||
AOL INC
|
83,000
|
shares
|
3,832,110
|
|||||||
AON PLC
|
230,479
|
shares
|
21,856,324
|
|||||||
AP MOELLER - MAERSK A/S
|
356
|
shares
|
715,616
|
|||||||
APACHE CORP
|
360,200
|
shares
|
22,573,734
|
|||||||
APOLLO EDUCATION GROUP INC
|
74,709
|
shares
|
2,548,324
|
|||||||
APPLE INC
|
531,193
|
shares
|
58,633,083
|
|||||||
ARCBEST CORP
|
54,400
|
shares
|
2,522,528
|
|||||||
ARCELORMITTAL
|
70,900
|
shares
|
782,027
|
|||||||
ARCELORMITTAL
|
15,766
|
shares
|
173,378
|
|||||||
ARCH CAPITAL GROUP LTD
|
98,880
|
shares
|
5,843,808
|
|||||||
ARKEMA SA
|
3,705
|
shares
|
246,892
|
|||||||
ARM HOLDINGS PLC
|
241,396
|
shares
|
11,176,635
|
|||||||
ARM HOLDINGS PLC
|
932,014
|
shares
|
14,459,766
|
|||||||
ARROW ELECTRONICS INC
|
51,710
|
shares
|
2,993,492
|
|||||||
ARTISAN PARTNERS ASSET MANAGEM
|
131,000
|
shares
|
6,619,430
|
|||||||
ARYZTA AG
|
29,310
|
shares
|
2,269,818
|
|||||||
ASAHI GLASS CO LTD
|
235,000
|
shares
|
1,154,468
|
|||||||
ASBURY AUTOMOTIVE GROUP INC
|
91,000
|
shares
|
6,908,720
|
|||||||
ASCENA RETAIL GROUP INC
|
167,375
|
shares
|
2,102,230
|
|||||||
ASCENDAS INDIA TRUST
|
1,237,000
|
shares
|
765,482
|
|||||||
ASCENDAS REAL ESTATE INVESTMEN
|
204,000
|
shares
|
366,403
|
|||||||
ASHTEAD GROUP PLC
|
18,754
|
shares
|
336,870
|
|||||||
ASM INTERNATIONAL NV
|
21,915
|
shares
|
930,790
|
|||||||
ASML HOLDING NV
|
33,389
|
shares
|
3,616,011
|
|||||||
ASOS PLC
|
61,453
|
shares
|
2,468,338
|
|||||||
ASPEN TECHNOLOGY INC
|
203,000
|
shares
|
7,109,060
|
|||||||
ASSURED GUARANTY LTD
|
153,258
|
shares
|
3,983,175
|
|||||||
ASTELLAS PHARMA INC
|
276,000
|
shares
|
3,882,347
|
|||||||
ASTRAZENECA PLC ADR
|
75,365
|
shares
|
5,304,189
|
|||||||
ASTRAZENECA PLC
|
27,924
|
shares
|
1,983,487
|
|||||||
ASTRO MALAYSIA HOLDINGS BHD
|
830,841
|
shares
|
719,991
|
|||||||
ASUSTEK COMPUTER INC
|
126,000
|
shares
|
1,381,526
|
|||||||
ASYA KATILIM BANKASI AS
|
156,205
|
shares
|
43,432
|
|||||||
AT&T INC
|
175,700
|
shares
|
5,901,763
|
|||||||
ATHENAHEALTH INC
|
37,466
|
shares
|
5,458,796
|
|||||||
ATLAS COPCO AB
|
32,030
|
shares
|
822,001
|
|||||||
ATLAS COPCO AB
|
628,790
|
shares
|
17,542,584
|
|||||||
ATRIUM EUROPEAN REAL ESTATE LT
|
59,232
|
shares
|
293,145
|
|||||||
ATRIUM LJUNGBERG AB
|
17,997
|
shares
|
263,693
|
|||||||
AU OPTRONICS CORP
|
182,000
|
shares
|
93,298
|
|||||||
AUCKLAND INTERNATIONAL AIRPORT
|
83,407
|
shares
|
275,758
|
|||||||
AUSTBROKERS HOLDINGS LTD
|
93,366
|
shares
|
775,522
|
|||||||
AVALONBAY COMMUNITIES INC
|
74,440
|
shares
|
12,162,751
|
|||||||
AVERY DENNISON CORP
|
37,783
|
shares
|
1,960,182
|
|||||||
AVEVA GROUP PLC
|
7,291
|
shares
|
149,382
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
AVIS BUDGET GROUP INC
|
181,070
|
shares
|
$ |
12,010,373
|
||||||
AVON PRODUCTS INC
|
292,561
|
shares
|
2,747,148
|
|||||||
B&M EUROPEAN VALUE RETAIL SA
|
144,086
|
shares
|
640,298
|
|||||||
BABCOCK INTERNATIONAL GROUP PL
|
8,907
|
shares
|
146,938
|
|||||||
BAIDU INC ADR
|
164,170
|
shares
|
37,425,835
|
|||||||
BAKER HUGHES INC
|
234,000
|
shares
|
13,120,380
|
|||||||
BAKKAFROST P/F
|
28,571
|
shares
|
638,294
|
|||||||
BANCO BRADESCO SA ADR
|
44,041
|
shares
|
588,828
|
|||||||
BANCO DE SABADELL SA NEW
|
140,760
|
shares
|
375,570
|
|||||||
BANCO DO BRASIL SA
|
75,600
|
shares
|
676,026
|
|||||||
BANCO ESPIRITO SANTO SA
|
237,150
|
shares
|
34,436
|
|||||||
BANCO POPULAR ESPANOL SA
|
3,096,833
|
shares
|
15,588,863
|
|||||||
BANCO SANTANDER SA
|
946,444
|
shares
|
8,012,131
|
|||||||
BANCORPSOUTH INC
|
149,360
|
shares
|
3,362,094
|
|||||||
BANK HAPOALIM BM
|
285,219
|
shares
|
1,348,605
|
|||||||
BANK LEUMI LE-ISRAEL BM
|
349,893
|
shares
|
1,203,040
|
|||||||
BANK MANDIRI PERSERO TBK PT
|
1,564,400
|
shares
|
1,361,037
|
|||||||
BANK OF AMERICA CORP
|
1,961,700
|
shares
|
35,094,813
|
|||||||
BANK OF COMMUNICATIONS CO LTD
|
1,291,000
|
shares
|
1,205,290
|
|||||||
BANK OF IRELAND
|
14,422,053
|
shares
|
5,462,290
|
|||||||
BANK OF NEW YORK MELLON CORP/T
|
626,100
|
shares
|
25,400,877
|
|||||||
BANK RAKYAT INDONESIA PERSERO
|
2,475,900
|
shares
|
2,328,970
|
|||||||
BARRICK GOLD CORP
|
94,309
|
shares
|
1,013,822
|
|||||||
BASF SE
|
24,522
|
shares
|
2,073,538
|
|||||||
BAYER AG
|
22,302
|
shares
|
3,049,478
|
|||||||
BAYERISCHE MOTOREN WERKE AG
|
11,696
|
shares
|
1,270,492
|
|||||||
BB&T CORP
|
232,363
|
shares
|
9,036,597
|
|||||||
BDO UNIBANK INC
|
474,430
|
shares
|
1,164,532
|
|||||||
BEACON ROOFING SUPPLY INC
|
190,000
|
shares
|
5,282,000
|
|||||||
BEIERSDORF AG
|
9,599
|
shares
|
783,102
|
|||||||
BELGACOM SA
|
76,784
|
shares
|
2,796,666
|
|||||||
BELLWAY PLC
|
72,057
|
shares
|
2,178,561
|
|||||||
BENI STABILI SPA SIIQ
|
413,152
|
shares
|
290,212
|
|||||||
BERKSHIRE HATHAWAY INC
|
101,887
|
shares
|
15,298,333
|
|||||||
BEZEQ THE ISRAELI TELECOMMUNIC
|
218,341
|
shares
|
389,950
|
|||||||
BGP NPV
|
1,317,017
|
shares
|
-
|
|||||||
BIM BIRLESIK MAGAZALAR AS
|
202,694
|
shares
|
4,335,237
|
|||||||
BIOGEN IDEC INC
|
66,504
|
shares
|
22,574,783
|
|||||||
BIOMED REALTY TRUST INC
|
111,800
|
shares
|
2,408,172
|
|||||||
BIO-TECHNE CORP
|
132,731
|
shares
|
12,264,344
|
|||||||
BLACKBAUD INC
|
221,995
|
shares
|
9,603,504
|
|||||||
BLOOMIN' BRANDS INC
|
141,049
|
shares
|
3,492,373
|
|||||||
BM&FBOVESPA SA
|
212,400
|
shares
|
787,051
|
|||||||
BOARDWALK REAL ESTATE INVT
|
32,666
|
shares
|
1,735,606
|
|||||||
BOEING CO/THE
|
169,391
|
shares
|
22,017,442
|
|||||||
BOLIDEN AB
|
110,026
|
shares
|
1,763,902
|
|||||||
BOLSA MEXICANA DE VALORES SAB
|
194,597
|
shares
|
352,763
|
|||||||
BOOKER GROUP PLC
|
593,338
|
shares
|
1,513,565
|
|||||||
BOSKALIS WESTMINSTER NV
|
12,450
|
shares
|
684,710
|
|||||||
BOSTON PROPERTIES INC
|
53,070
|
shares
|
6,829,578
|
|||||||
BR MALLS PARTICIPACOES SA
|
69,957
|
shares
|
432,395
|
|||||||
BR PROPERTIES SA
|
65,200
|
shares
|
251,411
|
|||||||
BRANDYWINE REALTY TRUST
|
75,500
|
shares
|
1,206,490
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
BRASIL BROKERS PARTICIPACOES S
|
90,525
|
shares
|
$ |
86,159
|
||||||
BRASIL INSURANCE PARTICIPACOES
|
53,716
|
shares
|
68,706
|
|||||||
BRENNTAG AG
|
18,192
|
shares
|
1,023,835
|
|||||||
BRIGHT HORIZONS FAMILY SOLUTIO
|
97,100
|
shares
|
4,564,671
|
|||||||
BRISTOL-MYERS SQUIBB CO
|
320,924
|
shares
|
18,944,144
|
|||||||
BRISTOW GROUP INC
|
29,224
|
shares
|
1,922,647
|
|||||||
BRITISH LAND CO PLC/THE
|
515,731
|
shares
|
6,248,273
|
|||||||
BRITVIC PLC
|
29,953
|
shares
|
315,020
|
|||||||
BRIXMOR PROPERTY GROUP INC
|
71,800
|
shares
|
1,783,512
|
|||||||
BROADRIDGE FINANCIAL SOLUTIONS
|
434,090
|
shares
|
20,046,276
|
|||||||
BROCADE COMMUNICATIONS SYSTEMS
|
302,569
|
shares
|
3,582,417
|
|||||||
BROOKDALE SENIOR LIVING INC
|
132,000
|
shares
|
4,840,440
|
|||||||
BROOKFIELD CANADA OFFICE PPTYS
|
20,207
|
shares
|
470,348
|
|||||||
BROTHER INDUSTRIES LTD
|
83,000
|
shares
|
1,525,768
|
|||||||
BROWN SHOE CO INC
|
103,750
|
shares
|
3,335,563
|
|||||||
BRUKER CORP
|
193,940
|
shares
|
3,805,103
|
|||||||
BRUNEL INTERNATIONAL NV
|
10,635
|
shares
|
175,017
|
|||||||
BRUNSWICK CORP/DE
|
115,640
|
shares
|
5,927,706
|
|||||||
BT GROUP PLC
|
677,992
|
shares
|
4,244,493
|
|||||||
BUNZL PLC
|
221,579
|
shares
|
6,094,568
|
|||||||
BURBERRY GROUP PLC
|
18,218
|
shares
|
464,729
|
|||||||
BURCKHARDT COMPRESSION HOLDING
|
1,208
|
shares
|
462,885
|
|||||||
BUWOG AG
|
9,984
|
shares
|
197,889
|
|||||||
CABELA'S INC
|
49,700
|
shares
|
2,619,687
|
|||||||
CADENCE DESIGN SYSTEMS INC
|
125,000
|
shares
|
2,371,250
|
|||||||
CAIRN ENERGY PLC
|
61,834
|
shares
|
172,100
|
|||||||
CALBEE INC
|
14,500
|
shares
|
504,921
|
|||||||
CALIFORNIA RESOURCES CORP
|
9,526
|
shares
|
52,488
|
|||||||
CALLOWAY REIT
|
5,852
|
shares
|
137,932
|
|||||||
CAMDEN PROPERTY TRUST
|
30,200
|
shares
|
2,229,968
|
|||||||
CANADIAN APARTMENT PPTYS REIT
|
3,484
|
shares
|
75,591
|
|||||||
CANADIAN NATIONAL RAILWAY CO
|
5,026
|
shares
|
347,231
|
|||||||
CANADIAN NATURAL RESOURCES LTD
|
162,007
|
shares
|
5,002,776
|
|||||||
CANADIAN OIL SANDS LTD
|
22,296
|
shares
|
200,582
|
|||||||
CANADIAN PACIFIC RAILWAY LTD
|
122,137
|
shares
|
23,534,579
|
|||||||
CANADIAN REIT
|
19,400
|
shares
|
766,955
|
|||||||
CANADIAN WESTERN BANK
|
13,213
|
shares
|
373,603
|
|||||||
CANON INC
|
141,100
|
shares
|
4,519,742
|
|||||||
CAP GEMINI SA
|
5,667
|
shares
|
407,875
|
|||||||
CAPITA PLC
|
62,079
|
shares
|
1,046,372
|
|||||||
CAPITACOMMERCIAL TRUST
|
1,410,000
|
shares
|
1,867,444
|
|||||||
CAPITAL & COUNTIES PROPERTIES
|
72,437
|
shares
|
411,806
|
|||||||
CAPITAL & REGIONAL PLC
|
616,438
|
shares
|
504,620
|
|||||||
CAPITAL ONE FINANCIAL CORP
|
454,495
|
shares
|
37,518,562
|
|||||||
CAPITALAND LTD
|
1,678,200
|
shares
|
4,192,017
|
|||||||
CAPITAMALL TRUST
|
379,000
|
shares
|
583,473
|
|||||||
CARBO CERAMICS INC
|
72,470
|
shares
|
2,902,424
|
|||||||
CARLSBERG A/S
|
5,292
|
shares
|
411,750
|
|||||||
CARMAX INC
|
55,000
|
shares
|
3,661,900
|
|||||||
CARNIVAL CORP
|
313,900
|
shares
|
14,229,087
|
|||||||
CASEY'S GENERAL STORES INC
|
32,300
|
shares
|
2,917,336
|
|||||||
CASINO GUICHARD PERRACHON SA
|
6,257
|
shares
|
578,900
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
CASTELLUM AB
|
13,576
|
shares
|
$ |
211,750
|
||||||
CATCHER TECHNOLOGY TWD10
|
175,000
|
shares
|
1,365,024
|
|||||||
CATLIN GROUP LTD
|
126,231
|
shares
|
1,320,700
|
|||||||
CDW CORP/DE
|
119,518
|
shares
|
4,203,448
|
|||||||
CELANESE CORP
|
339,800
|
shares
|
20,374,408
|
|||||||
CELESIO AG
|
11,957
|
shares
|
386,600
|
|||||||
CELESTICA INC
|
336,243
|
shares
|
3,947,493
|
|||||||
CELGENE CORP
|
376,009
|
shares
|
42,060,367
|
|||||||
CELLDEX THERAPEUTICS INC
|
117,400
|
shares
|
2,142,550
|
|||||||
CELLTRION INC
|
84,350
|
shares
|
2,981,393
|
|||||||
CENTENE CORP
|
94,840
|
shares
|
9,849,134
|
|||||||
CENTRAL JAPAN RAILWAY CO
|
15,500
|
shares
|
2,345,135
|
|||||||
CEPHEID
|
107,500
|
shares
|
5,820,050
|
|||||||
CETIP SA - MERCADOS ORGANIZADO
|
35,612
|
shares
|
431,385
|
|||||||
CHAMPION REIT
|
245,000
|
shares
|
113,735
|
|||||||
CHARLES RIVER LABORATORIES INT
|
59,755
|
shares
|
3,802,808
|
|||||||
CHARLES SCHWAB CORP/THE
|
814,300
|
shares
|
24,583,717
|
|||||||
CHESAPEAKE ENERGY CORP
|
1,186,200
|
shares
|
23,213,934
|
|||||||
CHESAPEAKE LODGING TRUST
|
29,198
|
shares
|
1,086,458
|
|||||||
CHEUNG KONG HOLDINGS LTD ADR
|
1,461,000
|
shares
|
24,427,920
|
|||||||
CHEUNG KONG(HLDGS) HK$0.50
|
101,000
|
shares
|
1,697,041
|
|||||||
CHEVRON CORP
|
173,900
|
shares
|
19,508,102
|
|||||||
CHIBA BANK LTD/THE
|
92,000
|
shares
|
609,266
|
|||||||
CHICAGO BRIDGE & IRON CO NV
|
193,885
|
shares
|
8,139,292
|
|||||||
CHICONY ELECTRONICS CO LTD
|
105,525
|
shares
|
295,518
|
|||||||
CHILDREN'S PLACE INC/THE
|
43,335
|
shares
|
2,470,095
|
|||||||
CHINA CONSTRUCTION BANK CORP
|
8,166,000
|
shares
|
6,707,727
|
|||||||
CHINA EVERBRIGHT BANK CO LTD
|
950,000
|
shares
|
516,967
|
|||||||
CHINA LIFE INSURANCE CO LTD ADR
|
3,886
|
shares
|
228,147
|
|||||||
CHINA LIFE INSURANCE CO LTD
|
1,068,000
|
shares
|
4,193,582
|
|||||||
CHINA MINSHENG BANKING CORP LT
|
1,543,500
|
shares
|
2,030,175
|
|||||||
CHINA OVERSEAS LAND & INVESTME
|
370,971
|
shares
|
1,102,650
|
|||||||
CHINA RESOURCES LAND LTD
|
62,000
|
shares
|
163,498
|
|||||||
CHINA TELECOM CORP LTD ADR
|
6,973
|
shares
|
409,385
|
|||||||
CHINA UNICOM HONG KONG LTD ADR
|
72,202
|
shares
|
971,117
|
|||||||
CHIPOTLE MEXICAN GRILL INC
|
14,132
|
shares
|
9,673,495
|
|||||||
CHOCOLADEFABRIKEN LINDT & SPRU
|
206
|
shares
|
1,022,485
|
|||||||
CHR HANSEN HOLDING A/S
|
87,601
|
shares
|
3,904,767
|
|||||||
CHRISTIAN DIOR SA
|
7,432
|
shares
|
1,285,113
|
|||||||
CHROMA ATE INC
|
308,000
|
shares
|
800,165
|
|||||||
CHUBU ELECTRIC POWER CO INC
|
59,800
|
shares
|
707,505
|
|||||||
CHUGAI PHARMACEUTICAL CO LTD
|
40,500
|
shares
|
1,001,226
|
|||||||
CIA DE SANEAMENTO BASICO DO ES
|
108,100
|
shares
|
691,739
|
|||||||
CIE DE SAINT-GOBAIN
|
13,649
|
shares
|
581,858
|
|||||||
CIE FINANCIERE RICHEMONT SA
|
114,338
|
shares
|
10,218,099
|
|||||||
CIE GENERALE DES ETABLISSEMENT
|
25,931
|
shares
|
2,361,808
|
|||||||
CIELO SA
|
46,800
|
shares
|
733,638
|
|||||||
CIENA CORP
|
132,120
|
shares
|
2,564,449
|
|||||||
CIGNA CORP
|
60,000
|
shares
|
6,174,600
|
|||||||
CISCO SYSTEMS INC
|
786,776
|
shares
|
21,884,174
|
|||||||
CITIGROUP INC
|
279,994
|
shares
|
15,150,475
|
|||||||
CITIZEN HOLDINGS CO LTD
|
71,700
|
shares
|
558,554
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
CITY DEVELOPMENTS LTD
|
62,000
|
shares
|
$ |
480,522
|
||||||
CITYCON OYJ
|
121,637
|
shares
|
379,742
|
|||||||
CJ O SHOPPING CO LTD
|
2,422
|
shares
|
573,356
|
|||||||
CLARCOR INC
|
85,500
|
shares
|
5,697,720
|
|||||||
CLEAN HARBORS INC
|
233,495
|
shares
|
11,219,435
|
|||||||
CNO FINANCIAL GROUP INC
|
232,235
|
shares
|
3,999,087
|
|||||||
CNOOC LTD
|
1,773,000
|
shares
|
2,386,909
|
|||||||
CNP ASSURANCES
|
51,711
|
shares
|
921,386
|
|||||||
COACH INC
|
110,246
|
shares
|
4,140,840
|
|||||||
COBHAM PLC
|
93,837
|
shares
|
473,915
|
|||||||
COCA-COLA HBC AG
|
11,513
|
shares
|
220,446
|
|||||||
COCHLEAR LTD
|
33,446
|
shares
|
2,126,691
|
|||||||
COEUR MINING INC
|
306,412
|
shares
|
1,565,765
|
|||||||
COGNIZANT TECHNOLOGY SOLUTIONS
|
20,255
|
shares
|
1,066,628
|
|||||||
COLOPLAST A/S
|
10,195
|
shares
|
859,834
|
|||||||
COMCAST CORP
|
541,147
|
shares
|
31,391,937
|
|||||||
COMERICA INC
|
101,770
|
shares
|
4,766,907
|
|||||||
COMMERZBANK AG
|
37,930
|
shares
|
503,951
|
|||||||
COMMSCOPE HOLDING CO INC
|
153,400
|
shares
|
3,502,122
|
|||||||
COMMVAULT SYSTEMS INC
|
60,300
|
shares
|
3,116,907
|
|||||||
COMPASS GROUP PLC ADR
|
5,031
|
shares
|
85,728
|
|||||||
COMPASS GROUP PLC
|
87,125
|
shares
|
1,495,705
|
|||||||
COMPUTERSHARE LTD
|
78,184
|
shares
|
754,986
|
|||||||
CONCENTRADORA FIBRA DANHOS SA
|
164,192
|
shares
|
401,018
|
|||||||
CONCENTRADORA FIBRA HOTELERA M
|
310,052
|
shares
|
482,966
|
|||||||
CONCHO RESOURCES INC
|
107,608
|
shares
|
10,733,898
|
|||||||
CONSOL ENERGY INC
|
584,800
|
shares
|
19,772,088
|
|||||||
CONTINENTAL AG
|
7,564
|
shares
|
1,606,777
|
|||||||
CONTROLADORA VUELA CIA DE AVIA ADR
|
37,869
|
shares
|
341,578
|
|||||||
COPA HOLDINGS SA
|
12,317
|
shares
|
1,276,534
|
|||||||
CORE LABORATORIES NV
|
80,265
|
shares
|
9,659,090
|
|||||||
CORELOGIC INC/UNITED STATES
|
162,100
|
shares
|
5,120,739
|
|||||||
CORIO NV EUR10
|
24,056
|
shares
|
1,182,697
|
|||||||
CORNERSTONE ONDEMAND INC
|
132,100
|
shares
|
4,649,920
|
|||||||
CORNING INC
|
370,000
|
shares
|
8,484,100
|
|||||||
CORPORATE EXECUTIVE BOARD CO/T
|
133,650
|
shares
|
9,693,635
|
|||||||
CORPORATE OFFICE PROPERTIES TR
|
11,040
|
shares
|
313,205
|
|||||||
COSMOS PHARMACEUTICAL CORP
|
3,900
|
shares
|
535,093
|
|||||||
COSTAR GROUP INC
|
73,800
|
shares
|
13,551,894
|
|||||||
COSTCO WHOLESALE CORP
|
114,863
|
shares
|
16,281,830
|
|||||||
COUPONS.COM INC
|
192,738
|
shares
|
3,421,100
|
|||||||
COUSINS PROPERTIES INC
|
154,538
|
shares
|
1,764,824
|
|||||||
COVIDIEN PLC
|
71,143
|
shares
|
7,276,506
|
|||||||
CRANE CO
|
36,703
|
shares
|
2,154,466
|
|||||||
CREDICORP LTD
|
60,357
|
shares
|
9,667,984
|
|||||||
CRODA INTERNATIONAL PLC
|
50,508
|
shares
|
2,096,447
|
|||||||
CROMBIE REAL ESTATE INVT TR
|
24,479
|
shares
|
273,057
|
|||||||
CROWN CASTLE INTERNATIONAL COR
|
209,959
|
shares
|
16,523,773
|
|||||||
CROWN HOLDINGS INC
|
50,225
|
shares
|
2,556,453
|
|||||||
CSL LTD
|
2,291
|
shares
|
162,511
|
|||||||
CTS EVENTIM AG & CO KGAA
|
9,739
|
shares
|
288,725
|
|||||||
CUBESMART
|
118,746
|
shares
|
2,620,725
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
CVS HEALTH CORP
|
86,010
|
shares
|
$ |
8,283,623
|
||||||
CYFROWY POLSAT SA
|
34,963
|
shares
|
231,315
|
|||||||
DAI NIPPON PRINTING CO LTD
|
23,000
|
shares
|
209,100
|
|||||||
DAIBIRU CORP
|
7,000
|
shares
|
66,325
|
|||||||
DAICEL CORP
|
53,000
|
shares
|
626,832
|
|||||||
DAI-ICHI LIFE INSURANCE CO LTD
|
244,300
|
shares
|
3,751,251
|
|||||||
DAIICHI SANKYO CO LTD
|
122,300
|
shares
|
1,721,860
|
|||||||
DAIKIN INDUSTRIES Y50
|
9,600
|
shares
|
625,347
|
|||||||
DAIMLER AG
|
39,619
|
shares
|
3,306,489
|
|||||||
DAIRY FARM INTERNATIONAL HOLDI
|
73,191
|
shares
|
658,719
|
|||||||
DAISEKI CO LTD
|
27,000
|
shares
|
471,788
|
|||||||
DAIWA SECURITIES GROUP INC
|
87,000
|
shares
|
687,612
|
|||||||
DALIAN WANDA COMMERCIAL PROPER
|
42,700
|
shares
|
272,558
|
|||||||
DANAHER CORP
|
61,500
|
shares
|
5,271,165
|
|||||||
DANSKE BANK AS DKK10
|
59,191
|
shares
|
1,610,168
|
|||||||
DARDEN RESTAURANTS INC
|
64,720
|
shares
|
3,794,534
|
|||||||
DARLING INGREDIENTS INC
|
543,471
|
shares
|
9,869,433
|
|||||||
DASSAULT SYSTEMES
|
3,837
|
shares
|
234,655
|
|||||||
DAVIDE CAMPARI-MILANO SPA
|
44,654
|
shares
|
278,813
|
|||||||
DCC PLC
|
16,918
|
shares
|
937,260
|
|||||||
DCT INDUSTRIAL TRUST INC
|
42,705
|
shares
|
1,522,860
|
|||||||
DDR CORP
|
298,197
|
shares
|
5,474,897
|
|||||||
DEALERTRACK TECHNOLOGIES INC
|
132,100
|
shares
|
5,853,351
|
|||||||
DELHAIZE GROUP SA ADR
|
22,408
|
shares
|
406,033
|
|||||||
DELHAIZE GROUP SA
|
33,157
|
shares
|
2,424,550
|
|||||||
DELTA AIR LINES INC
|
93,371
|
shares
|
4,592,919
|
|||||||
DELTA ELECTRONICS INC
|
257,000
|
shares
|
1,532,957
|
|||||||
DELTICOM AG
|
1,525
|
shares
|
34,914
|
|||||||
DELUXE CORP
|
71,555
|
shares
|
4,454,299
|
|||||||
DERWENT LONDON PLC
|
66,321
|
shares
|
3,120,944
|
|||||||
DEUTSCH-CW21 MOIL LTD
|
153,614
|
shares
|
769,345
|
|||||||
DEUTSCHE ANNINGTON IMMOBILIEN
|
25,419
|
shares
|
864,769
|
|||||||
DEUTSCHE EUROSHOP AG
|
8,331
|
shares
|
364,879
|
|||||||
DEUTSCHE LUFTHANSA AG
|
77,607
|
shares
|
1,298,752
|
|||||||
DEUTSCHE POST AG
|
44,585
|
shares
|
1,459,080
|
|||||||
DEUTSCHE WOHNEN AG
|
111,871
|
shares
|
2,650,534
|
|||||||
DEXUS PROPERTY GROUP
|
84,228
|
shares
|
480,428
|
|||||||
DIAMONDROCK HOSPITALITY CO
|
171,480
|
shares
|
2,549,908
|
|||||||
D'IETEREN SA/NV
|
9,583
|
shares
|
339,702
|
|||||||
DIGITALGLOBE INC
|
232,400
|
shares
|
7,197,428
|
|||||||
DIGNITY PLC
|
56,040
|
shares
|
1,668,091
|
|||||||
DINEEQUITY INC
|
145,230
|
shares
|
15,051,637
|
|||||||
DISCOVER FINANCIAL SERVICES
|
76,532
|
shares
|
5,012,081
|
|||||||
DISCOVERY COMMUNICATIONS INC
|
247,873
|
shares
|
8,358,278
|
|||||||
DISCOVERY COMMUNICATIONS INC
|
61,782
|
shares
|
2,128,390
|
|||||||
DISH NETWORK CORP
|
72,500
|
shares
|
5,284,525
|
|||||||
DISTRIBUIDORA INTERNACIONAL DE
|
601,423
|
shares
|
4,095,060
|
|||||||
DIXONS CARPHONE PLC
|
30,134
|
shares
|
217,265
|
|||||||
DKSH HOLDING AG
|
1,831
|
shares
|
140,045
|
|||||||
DO DEUTSCHE OFFICE AG
|
45,419
|
shares
|
160,866
|
|||||||
DOLLARAMA INC
|
33,718
|
shares
|
1,729,203
|
|||||||
DOMINO PRINTING SCIENCES PLC
|
43,373
|
shares
|
446,354
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
DOMINO'S PIZZA GROUP PLC
|
142,063
|
shares
|
$ |
1,556,120
|
||||||
DORMAN PRODUCTS INC
|
85,300
|
shares
|
4,117,431
|
|||||||
DOUGLAS EMMETT INC
|
119,492
|
shares
|
3,393,573
|
|||||||
DOVER CORP
|
11,072
|
shares
|
794,084
|
|||||||
DR HORTON INC
|
154,765
|
shares
|
3,914,007
|
|||||||
DSV A/S
|
58,373
|
shares
|
1,785,220
|
|||||||
DUKE REALTY CORP
|
382,912
|
shares
|
7,734,822
|
|||||||
DULUXGROUP LTD
|
101,182
|
shares
|
480,253
|
|||||||
DUNKIN' BRANDS GROUP INC
|
201,477
|
shares
|
8,592,994
|
|||||||
E.ON SE
|
191,362
|
shares
|
3,286,960
|
|||||||
E.SUN FINANCIAL HOLDING CO LTD
|
1,600,723
|
shares
|
995,323
|
|||||||
EAST JAPAN RAILWAY CO
|
28,400
|
shares
|
2,161,001
|
|||||||
EBAY INC
|
498,588
|
shares
|
27,980,759
|
|||||||
EDENRED
|
87,413
|
shares
|
2,428,045
|
|||||||
EDP ENERGIAS PORTUGAL
|
170,969
|
shares
|
665,743
|
|||||||
ELECTROCOMPONENTS PLC
|
52,060
|
shares
|
174,525
|
|||||||
ELECTROLUX AB
|
29,526
|
shares
|
862,971
|
|||||||
ELECTRONIC ARTS INC
|
174,300
|
shares
|
8,194,715
|
|||||||
ELEKTA AB
|
434,789
|
shares
|
4,426,619
|
|||||||
ELEMENTIS PLC
|
130,897
|
shares
|
534,337
|
|||||||
ELISA CORPORATION
|
13,862
|
shares
|
379,254
|
|||||||
ELLIE MAE INC
|
104,800
|
shares
|
4,225,536
|
|||||||
ELRINGKLINGER AG
|
9,726
|
shares
|
338,887
|
|||||||
E-MART CO LTD
|
1,495
|
shares
|
276,109
|
|||||||
EMC CORP/MA
|
493,003
|
shares
|
14,661,909
|
|||||||
EMCOR GROUP INC
|
59,101
|
shares
|
2,629,403
|
|||||||
EMERSON ELECTRIC CO
|
82,194
|
shares
|
5,073,836
|
|||||||
EMS-CHEMIE HOLDING AG
|
2,203
|
shares
|
895,145
|
|||||||
ENAGAS SA
|
80,071
|
shares
|
2,537,062
|
|||||||
ENEL EUR1
|
507,860
|
shares
|
2,271,325
|
|||||||
ENEL GREEN POWER SPA
|
523,264
|
shares
|
1,097,927
|
|||||||
ENERGEN CORP
|
31,890
|
shares
|
2,033,306
|
|||||||
ENERSYS
|
49,800
|
shares
|
3,073,656
|
|||||||
ENTERGY CORP
|
95,900
|
shares
|
8,389,332
|
|||||||
ENTRA ASA
|
26,504
|
shares
|
270,429
|
|||||||
ENVISION HEALTHCARE HOLDINGS I
|
160,000
|
shares
|
5,550,400
|
|||||||
EOG RESOURCES INC
|
303,356
|
shares
|
27,929,987
|
|||||||
EQT CORP
|
98,649
|
shares
|
7,467,729
|
|||||||
EQUINIX INC
|
69,340
|
shares
|
15,721,458
|
|||||||
EQUITY COMMONWEALTH
|
414,000
|
shares
|
10,627,380
|
|||||||
EQUITY LIFESTYLE PROPERTIES IN
|
28,972
|
shares
|
1,493,507
|
|||||||
EQUITY ONE INC
|
9,773
|
shares
|
247,843
|
|||||||
EQUITY RESIDENTIAL
|
225,651
|
shares
|
16,210,768
|
|||||||
EREGLI DEMIR VE CELIK FABRIKAL
|
41,182
|
shares
|
78,568
|
|||||||
ESPRIT HOLDINGS LTD
|
239,608
|
shares
|
286,732
|
|||||||
ESSENTRA PLC
|
32,029
|
shares
|
365,570
|
|||||||
ESSEX PROPERTY TRUST INC
|
25,792
|
shares
|
5,328,627
|
|||||||
ESSILOR INTERNATIONAL SA
|
29,294
|
shares
|
3,285,247
|
|||||||
ESTACIO PARTICIPACOES SA
|
74,443
|
shares
|
667,080
|
|||||||
ESTERLINE TECHNOLOGIES CORP
|
33,740
|
shares
|
3,700,603
|
|||||||
EUROCOMMERCIAL PROPERTIES NV
|
27,203
|
shares
|
1,157,691
|
|||||||
EUTELSAT COMMUNICATIONS SA
|
19,219
|
shares
|
623,143
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
EVEREST RE GROUP LTD
|
119,200
|
shares
|
$ |
20,299,760
|
||||||
EXELON CORP
|
195,600
|
shares
|
7,252,848
|
|||||||
EXOR SPA
|
168,377
|
shares
|
6,935,466
|
|||||||
EXOVA GROUP PLC
|
117,074
|
shares
|
292,076
|
|||||||
EXPEDITORS INTERNATIONAL OF WA
|
214,119
|
shares
|
9,551,849
|
|||||||
EXPERIAN PLC
|
14,525
|
shares
|
246,411
|
|||||||
EXPRESS SCRIPTS HOLDING CO
|
196,975
|
shares
|
16,677,873
|
|||||||
EXTENDED STAY AMERICA INC
|
14,290
|
shares
|
275,940
|
|||||||
EXTENDICARE INC
|
18,950
|
shares
|
106,673
|
|||||||
EXXON MOBIL CORP
|
150,660
|
shares
|
13,928,517
|
|||||||
FABEGE AB
|
17,052
|
shares
|
219,133
|
|||||||
FACEBOOK INC
|
406,249
|
shares
|
31,695,547
|
|||||||
FAIRCHILD SEMICONDUCTOR INTERN
|
218,120
|
shares
|
3,681,866
|
|||||||
FAIVELEY TRANSPORT SA
|
1,271
|
shares
|
73,669
|
|||||||
FAMILYMART CO LTD
|
4,700
|
shares
|
178,364
|
|||||||
FANUC CORP
|
10,700
|
shares
|
1,779,987
|
|||||||
FEDERAL REALTY INVESTMENT TRUS
|
5,860
|
shares
|
782,076
|
|||||||
FEDERATION CENTRES
|
921,017
|
shares
|
2,163,160
|
|||||||
FEDEX CORP
|
185,100
|
shares
|
32,144,466
|
|||||||
FIAT CHRYSLER AUTOMOBILES NV
|
1,991,869
|
shares
|
23,138,506
|
|||||||
FIBRIA CELULOSE SA
|
31,094
|
shares
|
380,282
|
|||||||
FIDELITY & GUARANTY LIFE
|
90,000
|
shares
|
2,184,300
|
|||||||
FIDELITY NATIONAL INFORMATION
|
26,622
|
shares
|
1,655,888
|
|||||||
FIFTH THIRD BANCORP
|
471,126
|
shares
|
9,599,192
|
|||||||
FINNING INTERNATIONAL INC
|
13,521
|
shares
|
294,526
|
|||||||
FIREEYE INC
|
121,954
|
shares
|
3,851,307
|
|||||||
FIRST BANCORP/PUERTO RICO
|
731,855
|
shares
|
4,295,989
|
|||||||
FIRST CAPITAL REALTY INC
|
40,534
|
shares
|
653,023
|
|||||||
FIRST PACIFIC CO LTD/HONG KONG
|
759,600
|
shares
|
753,248
|
|||||||
FIRSTENERGY CORP
|
76,300
|
shares
|
2,974,937
|
|||||||
FISHER & PAYKEL HEALTHCARE COR
|
219,746
|
shares
|
1,073,459
|
|||||||
FIVE BELOW INC
|
128,900
|
shares
|
5,262,987
|
|||||||
FLEETCOR TECHNOLOGIES INC
|
75,842
|
shares
|
11,278,464
|
|||||||
FLOWSERVE CORP
|
156,420
|
shares
|
9,358,609
|
|||||||
FLUOR CORP
|
6,338
|
shares
|
384,273
|
|||||||
FNF GROUP
|
89,220
|
shares
|
3,073,629
|
|||||||
FONCIERE DES REGIONS
|
4,102
|
shares
|
381,206
|
|||||||
FOOT LOCKER INC
|
54,055
|
shares
|
3,036,810
|
|||||||
FORD OTOMOTIV SANAYI AS
|
10,442
|
shares
|
145,391
|
|||||||
FOREST CITY ENTERPRISES INC
|
24,727
|
shares
|
526,685
|
|||||||
FORTESCUE METALS GROUP LTD
|
1,840,773
|
shares
|
4,127,527
|
|||||||
FORTUM OYJ
|
124,853
|
shares
|
2,714,878
|
|||||||
FORUM ENERGY TECHNOLOGIES INC
|
230,800
|
shares
|
4,784,484
|
|||||||
FOXTONS GROUP PLC
|
87,284
|
shares
|
218,096
|
|||||||
FRANKLIN RESOURCES INC
|
206,600
|
shares
|
11,439,442
|
|||||||
FRAPORT AG FRANKFURT AIRPORT S
|
15,196
|
shares
|
883,356
|
|||||||
FREEPORT-MCMORAN INC
|
31,248
|
shares
|
729,953
|
|||||||
FREESCALE SEMICONDUCTOR LTD
|
121,045
|
shares
|
3,053,965
|
|||||||
FRIENDS LIFE GROUP LTD
|
231,645
|
shares
|
1,322,687
|
|||||||
FRONTIER REAL ESTATE INVESTMEN
|
15
|
shares
|
68,810
|
|||||||
FUJI ELECTRIC CO LTD
|
325,000
|
shares
|
1,311,981
|
|||||||
FUJI SEAL INTERNATIONAL INC
|
5,800
|
shares
|
171,008
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
FUJIFILM HOLDINGS CORP
|
139,500
|
shares
|
$ |
4,306,180
|
||||||
FUJITSU LTD
|
344,000
|
shares
|
1,848,611
|
|||||||
G4S PLC
|
228,960
|
shares
|
992,119
|
|||||||
GAEC EDUCACAO SA
|
26,493
|
shares
|
352,316
|
|||||||
GAGFAH SA
|
95,371
|
shares
|
2,134,968
|
|||||||
GANNETT CO INC
|
182,617
|
shares
|
5,830,961
|
|||||||
GAP INC/THE
|
82,478
|
shares
|
3,473,149
|
|||||||
GAS NATURAL SDG SA
|
142,440
|
shares
|
3,586,802
|
|||||||
GAZPROM OAO ADR
|
50,107
|
shares
|
232,998
|
|||||||
GAZPROM OAO ADR
|
535,854
|
shares
|
2,427,419
|
|||||||
GEA GROUP AG
|
31,273
|
shares
|
1,385,013
|
|||||||
GEBERIT AG
|
19,559
|
shares
|
6,661,063
|
|||||||
GECINA SA
|
5,781
|
shares
|
724,013
|
|||||||
GEMALTO NV
|
7,299
|
shares
|
599,968
|
|||||||
GENERAC HOLDINGS INC
|
165,000
|
shares
|
7,715,400
|
|||||||
GENERAL DYNAMICS CORP
|
15,862
|
shares
|
2,182,928
|
|||||||
GENERAL ELECTRIC CO
|
912,100
|
shares
|
23,048,767
|
|||||||
GENERAL GROWTH PROPERTIES INC
|
339,072
|
shares
|
9,538,095
|
|||||||
GENERAL MOTORS CO
|
203,000
|
shares
|
7,086,730
|
|||||||
GENESEE & WYOMING INC
|
158,731
|
shares
|
14,273,092
|
|||||||
GENOMMA LAB INTERNACIONAL SAB
|
197,109
|
shares
|
375,236
|
|||||||
GERRY WEBER INTERNATIONAL AG
|
13,670
|
shares
|
564,888
|
|||||||
GILEAD SCIENCES INC
|
139,624
|
shares
|
13,160,958
|
|||||||
GIVAUDAN SA
|
1,804
|
shares
|
3,255,243
|
|||||||
GJENSIDIGE FORSIKRING ASA
|
38,173
|
shares
|
621,150
|
|||||||
GKN PLC
|
86,189
|
shares
|
462,302
|
|||||||
GLAXOSMITHKLINE ORD GBP0.25
|
24,341
|
shares
|
522,243
|
|||||||
GLAXOSMITHKLINE PLC ADR
|
125,500
|
shares
|
5,363,870
|
|||||||
GLOBAL BRANDS GROUP HOLDING LT
|
148,862
|
shares
|
29,178
|
|||||||
GLOBAL LOGISTIC PROPERTIES LTD
|
1,830,600
|
shares
|
3,426,072
|
|||||||
GLOBAL PAYMENTS INC
|
101,452
|
shares
|
8,190,220
|
|||||||
GLORY LTD
|
3,500
|
shares
|
95,459
|
|||||||
GLOW ENERGY PCL
|
355,800
|
shares
|
965,202
|
|||||||
GLP J-REIT
|
1,192
|
shares
|
1,328,255
|
|||||||
GOLDMAN SACHS GROUP INC/THE
|
79,700
|
shares
|
15,448,251
|
|||||||
GOODMAN GROUP
|
908,391
|
shares
|
4,229,842
|
|||||||
GOODYEAR TIRE & RUBBER CO/THE
|
120,445
|
shares
|
3,441,114
|
|||||||
GOOGLE INC
|
54,257
|
shares
|
28,560,885
|
|||||||
GOOGLE INC
|
44,438
|
shares
|
23,581,470
|
|||||||
GPT GROUP/THE
|
309,522
|
shares
|
1,101,843
|
|||||||
GRACO INC
|
211,852
|
shares
|
16,986,293
|
|||||||
GRAHAM HOLDINGS CO
|
30,500
|
shares
|
26,343,155
|
|||||||
GRAINGER PLC
|
202,330
|
shares
|
593,108
|
|||||||
GRAN TIERRA ENERGY INC
|
211,327
|
shares
|
813,744
|
|||||||
GRAND CANYON EDUCATION INC
|
148,500
|
shares
|
6,929,010
|
|||||||
GRANITE REAL ESTATE INVESTMENT
|
146,000
|
shares
|
5,190,300
|
|||||||
GREAT PORTLAND ESTATES PLC
|
274,599
|
shares
|
3,159,883
|
|||||||
GREE INC
|
170,900
|
shares
|
1,032,000
|
|||||||
GREEN REIT PLC
|
50,707
|
shares
|
78,538
|
|||||||
GRIFOLS SA ADR
|
20,154
|
shares
|
685,034
|
|||||||
GRIFOLS SA EUR0.5
|
20,150
|
shares
|
807,549
|
|||||||
GROUPE BRUXELLES LAMBERT SA
|
14,439
|
shares
|
1,236,138
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
GRUPO LALA SAB DE CV
|
139,102
|
shares
|
$ |
268,300
|
||||||
GUANGZHOU AUTOMOBILE GROUP CO
|
927,250
|
shares
|
844,167
|
|||||||
GUANGZHOU R&F PROPERTIES CO LT
|
266,400
|
shares
|
326,007
|
|||||||
H&R REAL ESTATE INVESTMENT TR
|
32,946
|
shares
|
618,102
|
|||||||
HAIN CELESTIAL GROUP INC/THE
|
47,210
|
shares
|
2,751,871
|
|||||||
HAITIAN INTERNATIONAL HOLDINGS
|
65,000
|
shares
|
137,127
|
|||||||
HAITONG SECURITIES CO LTD
|
340,400
|
shares
|
856,833
|
|||||||
HALMA PLC
|
49,784
|
shares
|
533,677
|
|||||||
HAMMERSON PLC
|
444,803
|
shares
|
4,196,033
|
|||||||
HANESBRANDS INC
|
148,655
|
shares
|
16,592,871
|
|||||||
HANG LUNG PROPERTIES LTD
|
452,111
|
shares
|
1,268,034
|
|||||||
HANKYU HANSHIN HOLDINGS INC
|
142,000
|
shares
|
768,656
|
|||||||
HARGREAVES LANSDOWN PLC
|
46,643
|
shares
|
736,008
|
|||||||
HAVAS SA
|
79,062
|
shares
|
646,435
|
|||||||
HCP INC
|
27,299
|
shares
|
1,201,975
|
|||||||
HDFC BANK LTD ADR
|
54,620
|
shares
|
2,771,965
|
|||||||
HEALTH CARE REIT INC
|
102,700
|
shares
|
7,771,309
|
|||||||
HEALTH NET INC/CA
|
82,395
|
shares
|
4,410,604
|
|||||||
HEALTHCARE REALTY TRUST INC
|
76,523
|
shares
|
2,090,608
|
|||||||
HEALTHCARE TRUST OF AMERICA IN
|
51,200
|
shares
|
1,379,328
|
|||||||
HEALTHSOUTH CORP
|
53,935
|
shares
|
2,074,340
|
|||||||
HEARTLAND PAYMENT SYSTEMS INC
|
275,830
|
shares
|
14,881,029
|
|||||||
HEARTWARE INTERNATIONAL INC
|
51,000
|
shares
|
3,744,930
|
|||||||
HEIDELBERGCEMENT AG
|
81,316
|
shares
|
5,786,694
|
|||||||
HEINEKEN HOLDING NV
|
21,020
|
shares
|
1,320,853
|
|||||||
HEINEKEN NV
|
21,595
|
shares
|
1,540,424
|
|||||||
HELICAL BAR PLC
|
187
|
shares
|
1,116
|
|||||||
HELIX ENERGY SOLUTIONS GROUP I
|
103,646
|
shares
|
2,249,118
|
|||||||
HENDERSON LAND DEVELOPMENT CO
|
116,865
|
shares
|
818,297
|
|||||||
HERMES INTERNATIONAL
|
45
|
shares
|
16,053
|
|||||||
HESS CORP
|
85,800
|
shares
|
6,333,756
|
|||||||
HEXAGON AB
|
33,722
|
shares
|
1,042,471
|
|||||||
HIBERNIA REIT PLC
|
144,545
|
shares
|
189,774
|
|||||||
HIGHWOODS PROPERTIES INC
|
25,410
|
shares
|
1,125,155
|
|||||||
HILL-ROM HOLDINGS INC
|
74,590
|
shares
|
3,402,796
|
|||||||
HILTON WORLDWIDE HOLDINGS INC
|
115,904
|
shares
|
3,023,935
|
|||||||
HIROSE ELECTRIC CO LTD
|
7,300
|
shares
|
857,284
|
|||||||
HISAMITSU PHARMACEUTICAL CO IN
|
3,500
|
shares
|
110,638
|
|||||||
HISCOX LTD
|
134,759
|
shares
|
1,513,936
|
|||||||
HISPANIA ACTIVOS INMOBILIARIOS
|
11,042
|
shares
|
144,837
|
|||||||
HITACHI CHEMICAL CO LTD
|
37,000
|
shares
|
661,646
|
|||||||
HITACHI HIGH-TECHNOLOGIES CORP
|
25,600
|
shares
|
747,321
|
|||||||
HITACHI LTD
|
257,000
|
shares
|
1,930,688
|
|||||||
HKT TRUST & HKT LTD
|
367,000
|
shares
|
477,985
|
|||||||
HMS HOLDINGS CORP
|
313,600
|
shares
|
6,629,504
|
|||||||
HOCHTIEF AG
|
2,366
|
shares
|
167,541
|
|||||||
HOGY MEDICAL CO LTD
|
1,900
|
shares
|
87,160
|
|||||||
HOLCIM LTD
|
21,493
|
shares
|
1,543,326
|
|||||||
HOME DEPOT INC/THE
|
35,235
|
shares
|
3,698,618
|
|||||||
HON HAI PRECISION INDUSTRY CO
|
990,080
|
shares
|
2,753,877
|
|||||||
HONDA MOTOR CO LTD
|
109,700
|
shares
|
3,226,174
|
|||||||
HONEYWELL INTERNATIONAL INC
|
93,397
|
shares
|
9,332,228
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
HONG KONG EXCHANGES AND CLEARI
|
220,736
|
shares
|
$ |
4,887,312
|
||||||
HONGKONG LAND HOLDINGS LTD
|
943,656
|
shares
|
6,379,115
|
|||||||
HOST HOTELS & RESORTS INC
|
574,567
|
shares
|
13,657,458
|
|||||||
HOYA CORP
|
27,300
|
shares
|
934,705
|
|||||||
HUDSON PACIFIC PROPERTIES INC
|
37,624
|
shares
|
1,130,977
|
|||||||
HUFVUDSTADEN AB
|
130,278
|
shares
|
1,690,830
|
|||||||
HULIC CO LTD
|
57,100
|
shares
|
576,739
|
|||||||
HULIC REIT INC
|
151
|
shares
|
229,343
|
|||||||
HUNTINGTON BANCSHARES INC/OH
|
481,730
|
shares
|
5,067,800
|
|||||||
HUNTSMAN CORP
|
125,673
|
shares
|
2,862,831
|
|||||||
HURON CONSULTING GROUP INC
|
123,550
|
shares
|
8,449,585
|
|||||||
HUSQVARNA AB
|
154,178
|
shares
|
1,137,391
|
|||||||
HYSAN DEVELOPMENT CO LTD
|
662,851
|
shares
|
2,961,732
|
|||||||
IBERDROLA SA
|
1,232,693
|
shares
|
8,348,598
|
|||||||
IBIDEN CO LTD
|
22,300
|
shares
|
332,561
|
|||||||
ICADE
|
23,595
|
shares
|
1,895,795
|
|||||||
ICAP PLC
|
71,267
|
shares
|
502,721
|
|||||||
ICICI BANK LTD ADR
|
82,089
|
shares
|
948,128
|
|||||||
IDEX CORP
|
115,725
|
shares
|
9,008,034
|
|||||||
IG GROUP HOLDINGS PLC
|
76,987
|
shares
|
863,102
|
|||||||
IGB REAL ESTATE INVESTMENT TRU
|
637,000
|
shares
|
238,659
|
|||||||
IGUATEMI EMPRESA DE SHOPPING C
|
83,322
|
shares
|
771,094
|
|||||||
IHS INC
|
24,000
|
shares
|
2,733,120
|
|||||||
ILIAD SA
|
6,524
|
shares
|
1,568,611
|
|||||||
ILLINOIS TOOL WORKS INC
|
61,500
|
shares
|
5,824,050
|
|||||||
ILLUMINA INC
|
75,266
|
shares
|
13,892,598
|
|||||||
ILUKA RESOURCES LTD
|
38,910
|
shares
|
189,460
|
|||||||
IMI PLC
|
21,408
|
shares
|
421,595
|
|||||||
INCYTE CORP
|
52,381
|
shares
|
3,829,575
|
|||||||
INDITEX SA
|
760,653
|
shares
|
21,818,749
|
|||||||
INDITEX SA ADR
|
897,692
|
shares
|
12,747,226
|
|||||||
INDUSTRIAL & COMMERCIAL BANK O ADR
|
6,244
|
shares
|
91,162
|
|||||||
INDUSTRIAL & COMMERCIAL BANK O
|
451,000
|
shares
|
329,169
|
|||||||
INDUSTRIVARDEN AB
|
63,487
|
shares
|
1,103,769
|
|||||||
INDUSTRIVARDEN AB
|
55,783
|
shares
|
1,017,573
|
|||||||
INFINEON TECHNOLOGIES AG
|
367,197
|
shares
|
3,930,070
|
|||||||
INGERSOLL-RAND PLC
|
59,500
|
shares
|
3,771,705
|
|||||||
INGRAM MICRO INC
|
483,400
|
shares
|
13,361,176
|
|||||||
INTEGRATED DEVICE TECHNOLOGY I
|
103,745
|
shares
|
2,033,402
|
|||||||
INTERCONTINENTAL EXCHANGE INC
|
49,121
|
shares
|
10,771,744
|
|||||||
INTERNATIONAL PAPER CO
|
175,930
|
shares
|
9,426,329
|
|||||||
INTERSIL CORP
|
194,910
|
shares
|
2,820,348
|
|||||||
INTERTEK GROUP PLC
|
25,148
|
shares
|
915,209
|
|||||||
INTU PROPERTIES PLC
|
127,115
|
shares
|
662,002
|
|||||||
INTUIT INC
|
126,162
|
shares
|
11,630,875
|
|||||||
INVESCO LTD
|
142,600
|
shares
|
5,635,552
|
|||||||
INVESTA OFFICE FUND
|
438,913
|
shares
|
1,307,432
|
|||||||
INVESTMENT AB KINNEVIK
|
444,494
|
shares
|
14,496,129
|
|||||||
INVESTMENT TECHNOLOGY GROUP IN
|
175,415
|
shares
|
3,652,140
|
|||||||
INVESTOR AB
|
115,430
|
shares
|
4,197,991
|
|||||||
INVESTOR AB
|
43,039
|
shares
|
1,546,562
|
|||||||
IPG PHOTONICS CORP
|
87,300
|
shares
|
6,540,516
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | ||||||||||
ITAU UNIBANCO HOLDING SA ADR
|
132,303
|
shares
|
$ |
1,721,262
|
||||||
J SAINSBURY PLC
|
181,727
|
shares
|
699,044
|
|||||||
J2 GLOBAL INC
|
336,638
|
shares
|
20,871,556
|
|||||||
JACK HENRY & ASSOCIATES INC
|
192,500
|
shares
|
11,961,950
|
|||||||
JACK IN THE BOX INC
|
25,228
|
shares
|
2,017,231
|
|||||||
JAMES HARDIE INDUSTRIES PLC
|
282,733
|
shares
|
3,054,144
|
|||||||
JANUS CAPITAL GROUP INC
|
180,930
|
shares
|
2,918,401
|
|||||||
JAPAN AIRLINES CO LTD
|
59,300
|
shares
|
1,780,558
|
|||||||
JAPAN EXCHANGE GROUP INC
|
5,500
|
shares
|
130,097
|
|||||||
JAPAN HOTEL REIT INVESTMENT CO
|
741
|
shares
|
475,891
|
|||||||
JAPAN PETROLEUM EX NPV
|
3,700
|
shares
|
117,269
|
|||||||
JAPAN PURE CHEMICAL CO LTD
|
1,500
|
shares
|
29,588
|
|||||||
JAPAN REAL ESTATE INVESTMENT C
|
647
|
shares
|
3,129,905
|
|||||||
JAPAN RETAIL FUND INVESTMENT C
|
1,732
|
shares
|
3,669,278
|
|||||||
JAPAN TOBACCO INC
|
22,700
|
shares
|
630,098
|
|||||||
JARDEN CORP
|
220,000
|
shares
|
10,533,600
|
|||||||
JARDINE LLOYD THOMPSON GROUP P
|
53,150
|
shares
|
742,552
|
|||||||
JD.COM INC ADR
|
96,600
|
shares
|
2,235,324
|
|||||||
JERONIMO MARTINS SGPS SA
|
169,234
|
shares
|
1,706,855
|
|||||||
JETBLUE AIRWAYS CORP
|
191,810
|
shares
|
3,042,107
|
|||||||
JGC CORP
|
34,000
|
shares
|
706,685
|
|||||||
JOHN WILEY & SONS INC
|
43,100
|
shares
|
2,553,244
|
|||||||
JOHN WOOD GROUP PLC
|
34,361
|
shares
|
319,589
|
|||||||
JOHNSON & JOHNSON
|
210,163
|
shares
|
21,976,745
|
|||||||
JOY GLOBAL INC
|
35,215
|
shares
|
1,638,202
|
|||||||
JPMORGAN CHASE & CO
|
749,511
|
shares
|
46,904,398
|
|||||||
JSR CORP
|
75,300
|
shares
|
1,303,831
|
|||||||
JULIUS BAER GROUP LTD
|
5,974
|
shares
|
275,418
|
|||||||
JUNIPER NETWORKS INC
|
153,500
|
shares
|
3,426,120
|
|||||||
JYSKE BANK A/S
|
24,178
|
shares
|
1,228,987
|
|||||||
KABA HOLDING AG
|
154
|
shares
|
77,880
|
|||||||
KAISER ALUMINUM CORP
|
27,721
|
shares
|
1,980,111
|
|||||||
KAJIMA CORP
|
175,000
|
shares
|
728,346
|
|||||||
KAKAKU.COM INC
|
10,500
|
shares
|
152,471
|
|||||||
KANEKA CORP
|
44,000
|
shares
|
237,808
|
|||||||
KANSAI PAINT CO LTD
|
38,000
|
shares
|
593,636
|
|||||||
KAO CORP
|
40,800
|
shares
|
1,618,796
|
|||||||
KELLOGG CO
|
65,500
|
shares
|
4,286,320
|
|||||||
KENEDIX OFFICE INVESTMENT CORP
|
241
|
shares
|
1,360,832
|
|||||||
KENNAMETAL INC
|
74,145
|
shares
|
2,653,650
|
|||||||
KEPPEL DC REIT
|
133,300
|
shares
|
98,081
|
|||||||
KEPPEL REIT
|
90,000
|
shares
|
82,862
|
|||||||
KERING
|
53,840
|
shares
|
10,391,280
|
|||||||
KERRY GROUP PLC
|
10,530
|
shares
|
727,176
|
|||||||
KERRY GROUP PLC
|
4,714
|
shares
|
330,614
|
|||||||
KERRY PROPERTIES LTD
|
131,000
|
shares
|
475,528
|
|||||||
KEYCORP
|
348,135
|
shares
|
4,839,077
|
|||||||
KEYENCE CORP NPV
|
2,300
|
shares
|
1,032,262
|
|||||||
KILROY REALTY CORP
|
52,900
|
shares
|
3,653,803
|
|||||||
KIMCO REALTY CORP
|
132,730
|
shares
|
3,336,832
|
|||||||
KINDER MORGAN INC/DE
|
191,676
|
shares
|
8,109,812
|
|||||||
KINROSS GOLD CORP
|
1,520,000
|
shares
|
4,286,400
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
KINSUS INTERCONNECT TECHNOLOGY
|
139,000
|
shares
|
$
|
464,037
|
|||||||
KINTETSU WORLD EXPRESS INC
|
6,700
|
shares
|
259,294
|
||||||||
KLEPIERRE
|
70,829
|
shares
|
3,062,298
|
||||||||
KOBAYASHI PHARMACEUTICAL CO LT
|
14,600
|
shares
|
857,283
|
||||||||
KOHL'S CORP
|
144,800
|
shares
|
8,838,592
|
||||||||
KOITO MANUFACTURING CO LTD
|
26,000
|
shares
|
803,453
|
||||||||
KOMATSU LTD
|
83,300
|
shares
|
1,864,775
|
||||||||
KONE OYJ
|
49,255
|
shares
|
2,254,110
|
||||||||
KONICA MINOLTA INC
|
147,000
|
shares
|
1,624,546
|
||||||||
KONINKLIJKE DSM NV
|
6,072
|
shares
|
372,074
|
||||||||
KONINKLIJKE PHILIPS NV
|
740,326
|
shares
|
21,469,454
|
||||||||
KONINKLIJKE VOPAK NV
|
4,106
|
shares
|
214,066
|
||||||||
KOREA ELECTRIC POWER CORP ADR
|
408,678
|
shares
|
7,912,006
|
||||||||
KROTON EDUCACIONAL SA
|
98,012
|
shares
|
571,509
|
||||||||
KURITA WATER INDUSTRIES LTD
|
8,900
|
shares
|
187,286
|
||||||||
KYOCERA CORP
|
30,600
|
shares
|
1,418,021
|
||||||||
KYORIN HOLDINGS INC
|
14,000
|
shares
|
261,212
|
||||||||
KYOWA HAKKO KIRIN CO LTD
|
71,000
|
shares
|
672,722
|
||||||||
L BRANDS INC
|
155,182
|
shares
|
13,431,002
|
||||||||
L&L ENERGY INC
|
8,522
|
shares
|
469
|
||||||||
LA QUINTA HOLDINGS INC
|
323,314
|
shares
|
7,132,307
|
||||||||
LADBROKES PLC
|
54,949
|
shares
|
94,676
|
||||||||
LAFARGE SA
|
15,236
|
shares
|
1,070,782
|
||||||||
LAM RESEARCH CORP
|
34,405
|
shares
|
2,729,693
|
||||||||
LAND SECURITIES GROUP PLC
|
405,159
|
shares
|
7,309,280
|
||||||||
LANXESS AG
|
4,748
|
shares
|
220,936
|
||||||||
LAREDO PETROLEUM INC
|
278,700
|
shares
|
2,884,545
|
||||||||
LARGAN PRECISION CO LTD
|
38,000
|
shares
|
2,879,881
|
||||||||
LAWSON INC
|
11,100
|
shares
|
674,916
|
||||||||
LA-Z-BOY INC
|
106,355
|
shares
|
2,854,568
|
||||||||
LEAR CORP
|
37,066
|
shares
|
3,635,433
|
||||||||
LEG IMMOBILIEN AG
|
61,336
|
shares
|
4,600,875
|
||||||||
LEGRAND SA
|
22,939
|
shares
|
1,208,693
|
||||||||
LENDINGCLUB CORP
|
18,661
|
shares
|
472,123
|
||||||||
LEVEL 3 COMMUNICATIONS INC
|
520,000
|
shares
|
25,677,600
|
||||||||
LEXINGTON REALTY TRUST
|
398,645
|
shares
|
4,377,123
|
||||||||
LG HOUSEHOLD & HEALTH CARE LTD
|
1,570
|
shares
|
889,879
|
||||||||
LI & FUNG LTD
|
154,862
|
shares
|
144,980
|
||||||||
LIBERTY BROADBAND CORP
|
15,774
|
shares
|
785,861
|
||||||||
LIBERTY BROADBAND CORP
|
7,887
|
shares
|
395,060
|
||||||||
LIBERTY BROADBAND CORP
|
4,733
|
shares
|
44,964
|
||||||||
LIBERTY GLOBAL PLC
|
144,884
|
shares
|
6,999,346
|
||||||||
LIBERTY GLOBAL PLC
|
6,059
|
shares
|
304,192
|
||||||||
LIBERTY INTERACTIVE CORP
|
707,441
|
shares
|
20,812,914
|
||||||||
LIBERTY MEDIA CORP
|
63,099
|
shares
|
2,210,358
|
||||||||
LIBERTY MEDIA CORP
|
31,550
|
shares
|
1,112,769
|
||||||||
LIBERTY PROPERTY TRUST
|
59,210
|
shares
|
2,228,072
|
||||||||
LIBERTY VENTURES
|
24,879
|
shares
|
938,436
|
||||||||
LIFE HEALTHCARE GROUP HOLDINGS
|
258,041
|
shares
|
953,762
|
||||||||
LINK REIT/THE
|
1,075,097
|
shares
|
6,730,751
|
||||||||
LINKEDIN CORP
|
68,304
|
shares
|
15,690,112
|
||||||||
LINX SA
|
15,202
|
shares
|
288,805
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
LITE-ON TECHNOLOGY CORP
|
21,681
|
shares
|
$ |
24,973
|
|||||||
LITTELFUSE INC
|
33,305
|
shares
|
3,219,594
|
||||||||
LOCALIZA RENT A CAR SA
|
25,290
|
shares
|
339,743
|
||||||||
LOCKHEED MARTIN CORP
|
54,791
|
shares
|
10,551,103
|
||||||||
LOEWS CORP
|
539,300
|
shares
|
22,661,386
|
||||||||
LOGITECH INTERNATIONAL SA
|
611,819
|
shares
|
8,281,553
|
||||||||
LONZA GROUP AG
|
14,801
|
shares
|
1,671,285
|
||||||||
L'OREAL SA
|
66,443
|
shares
|
11,199,630
|
||||||||
LOWE'S COS INC
|
225,000
|
shares
|
15,480,000
|
||||||||
LPS BRASIL CONSULTORIA DE IMOV
|
49,129
|
shares
|
120,133
|
||||||||
LSL PROPERTY SERVICES PLC
|
79,795
|
shares
|
370,773
|
||||||||
3M CO
|
78,600
|
shares
|
12,915,552
|
||||||||
M DIAS BRANCO SA
|
14,737
|
shares
|
504,502
|
||||||||
M3 INC
|
245,100
|
shares
|
4,135,596
|
||||||||
MABUCHI MOTOR CO LTD
|
16,800
|
shares
|
673,990
|
||||||||
MACERICH CO/THE
|
76,902
|
shares
|
6,414,396
|
||||||||
MACK-CALI REALTY CORP
|
198,641
|
shares
|
3,786,097
|
||||||||
MACY'S INC
|
37,952
|
shares
|
2,495,344
|
||||||||
MAGELLAN HEALTH INC
|
70,000
|
shares
|
4,202,100
|
||||||||
MAGNIT PJSC GDR
|
56,765
|
shares
|
2,577,131
|
||||||||
MAIL.RU GROUP LTD GDR
|
58,665
|
shares
|
956,240
|
||||||||
MANITOWOC CO INC/THE
|
157,295
|
shares
|
3,476,220
|
||||||||
MARATHON PETROLEUM CORP
|
35,945
|
shares
|
3,244,396
|
||||||||
MARINE HARVEST ASA
|
45,013
|
shares
|
617,780
|
||||||||
MARRIOTT INTERNATIONAL INC/MD
|
178,156
|
shares
|
13,901,513
|
||||||||
MARRIOTT VACATIONS WORLDWIDE C
|
53,000
|
shares
|
3,950,620
|
||||||||
MARSH & MCLENNAN COS INC
|
226,600
|
shares
|
12,970,584
|
||||||||
MARUBENI CORP
|
128,500
|
shares
|
776,713
|
||||||||
MARUICHI STEEL TUBE Y50
|
15,800
|
shares
|
338,811
|
||||||||
MASTEC INC
|
203,565
|
shares
|
4,602,605
|
||||||||
MASTERCARD INC
|
571,482
|
shares
|
49,238,889
|
||||||||
MATRIX SERVICE CO
|
93,799
|
shares
|
2,093,594
|
||||||||
MAXIM INTEGRATED PRODUCTS INC
|
165,000
|
shares
|
5,258,550
|
||||||||
MAYR MELNHOF KARTON AG
|
4,587
|
shares
|
477,343
|
||||||||
MCDONALD'S CORP
|
202,200
|
shares
|
18,946,140
|
||||||||
MCGRAW HILL FINANCIAL INC
|
93,083
|
shares
|
8,282,525
|
||||||||
MCKESSON CORP
|
6,474
|
shares
|
1,343,873
|
||||||||
MEAD JOHNSON NUTRITION CO
|
75,721
|
shares
|
7,612,989
|
||||||||
MEADWESTVACO CORP
|
221,110
|
shares
|
9,815,073
|
||||||||
MEDIATEK INC
|
184,000
|
shares
|
2,689,956
|
||||||||
MEDICAL PROPERTIES TRUST INC
|
156,600
|
shares
|
2,157,948
|
||||||||
MEDIOBANCA SPA
|
89,496
|
shares
|
733,155
|
||||||||
MEDIPAL HOLDINGS CORP
|
54,800
|
shares
|
642,179
|
||||||||
MEDNAX INC
|
69,000
|
shares
|
4,561,590
|
||||||||
MEDTRONIC INC
|
205,758
|
shares
|
14,855,728
|
||||||||
MEG ENERGY CORP
|
15,780
|
shares
|
266,349
|
||||||||
MEGGITT PLC
|
682,500
|
shares
|
5,523,136
|
||||||||
MEMORIAL RESOURCE DEVELOPMENT
|
150,000
|
shares
|
2,704,500
|
||||||||
MERCADOLIBRE INC
|
57,600
|
shares
|
7,353,792
|
||||||||
MERCIALYS SA
|
39,529
|
shares
|
881,784
|
||||||||
MERCK & CO INC
|
498,501
|
shares
|
28,309,872
|
||||||||
MERCK KGAA NPV
|
4,922
|
shares
|
467,059
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
MERRILL LYNCH INTL
|
116,329
|
shares
|
$ |
402,964
|
|||||||
MERRILL LYNCH INTL CERT
|
261,389
|
shares
|
961,912
|
||||||||
MERRILL LYNCH INTL LEPO WTS
|
18,582
|
shares
|
195,297
|
||||||||
MERRILL-CW18 FEDERAL BANK
|
520,149
|
shares
|
1,245,289
|
||||||||
METHANEX CORP
|
51,046
|
shares
|
2,339,438
|
||||||||
METLIFE INC
|
363,527
|
shares
|
19,663,175
|
||||||||
METSO OYJ
|
30,505
|
shares
|
917,647
|
||||||||
MICHAEL KORS HOLDINGS LTD
|
62,881
|
shares
|
4,722,363
|
||||||||
MICRON TECHNOLOGY INC
|
662,100
|
shares
|
23,180,121
|
||||||||
MICROSOFT CORP
|
1,380,661
|
shares
|
64,131,703
|
||||||||
MID-AMERICA APARTMENT COMMUNIT
|
20,353
|
shares
|
1,519,962
|
||||||||
MIDLAND HOLDINGS LTD
|
588,000
|
shares
|
298,745
|
||||||||
MILBON CO LTD
|
8,760
|
shares
|
239,284
|
||||||||
MILLS ESTRUTURAS E SERVICOS DE
|
61,134
|
shares
|
219,633
|
||||||||
MINOR INTERNATIONAL PCL
|
714,341
|
shares
|
705,656
|
||||||||
MINOR INTL PUBLIC COMPANY
|
34,382
|
shares
|
5,079
|
||||||||
MIRACA HOLDINGS INC
|
14,000
|
shares
|
608,366
|
||||||||
MIRVAC GROUP
|
2,394,368
|
shares
|
3,487,787
|
||||||||
MITIE GROUP PLC
|
82,139
|
shares
|
355,921
|
||||||||
MITRA ADIPERKAJA TBK PT IDR500
|
186,808
|
shares
|
76,548
|
||||||||
MITSUBISHI CHEMICAL HOLDINGS C
|
382,000
|
shares
|
1,875,032
|
||||||||
MITSUBISHI CORP
|
232,900
|
shares
|
4,306,596
|
||||||||
MITSUBISHI ELECTRIC CORP
|
263,000
|
shares
|
3,171,925
|
||||||||
MITSUBISHI ESTATE CO LTD
|
611,070
|
shares
|
13,024,641
|
||||||||
MITSUBISHI GAS CHEMICAL CO INC
|
84,000
|
shares
|
425,272
|
||||||||
MITSUBISHI HEAVY INDUSTRIES LT
|
54,000
|
shares
|
301,674
|
||||||||
MITSUBISHI MATERIALS CORP
|
106,000
|
shares
|
355,411
|
||||||||
MITSUBISHI UFJ LEASE & FINANCE
|
35,700
|
shares
|
170,319
|
||||||||
MITSUI & CO LTD
|
210,600
|
shares
|
2,848,225
|
||||||||
MITSUI FUDOSAN CO LTD
|
507,399
|
shares
|
13,775,250
|
||||||||
MIZUHO FINL GP NPV
|
250,200
|
shares
|
422,582
|
||||||||
MMC NORILSK NICKEL OJSC ADR
|
154,797
|
shares
|
2,139,310
|
||||||||
MOBIMO HOLDING AG
|
328
|
shares
|
65,755
|
||||||||
MONDELEZ INTERNATIONAL INC
|
751,554
|
shares
|
27,300,199
|
||||||||
MONOTARO CO LTD
|
22,100
|
shares
|
451,788
|
||||||||
MONSANTO CO
|
136,212
|
shares
|
16,273,248
|
||||||||
MORGAN STANLEY
|
773,046
|
shares
|
29,994,185
|
||||||||
MORI HILLS REIT INVESTMENT COR
|
430
|
shares
|
618,308
|
||||||||
MORPHOSYS AG
|
25,276
|
shares
|
2,343,746
|
||||||||
MRC GLOBAL INC
|
220,075
|
shares
|
3,334,136
|
||||||||
MSCI INC
|
289,950
|
shares
|
13,755,228
|
||||||||
MTU AERO ENGINES AG
|
5,604
|
shares
|
489,326
|
||||||||
MURATA MANUFACTURING CO LTD
|
25,200
|
shares
|
2,784,937
|
||||||||
MURPHY OIL CORP
|
382,800
|
shares
|
19,339,056
|
||||||||
MURPHY USA INC
|
97,617
|
shares
|
6,721,907
|
||||||||
NAKANISHI INC
|
17,000
|
shares
|
724,551
|
||||||||
NATIONAL OILWELL VARCO INC
|
90,000
|
shares
|
5,897,700
|
||||||||
NATIONAL RETAIL PROPERTIES INC
|
36,827
|
shares
|
1,449,879
|
||||||||
NAVER CORP
|
12,071
|
shares
|
7,819,272
|
||||||||
NAVIENT CORP
|
78,900
|
shares
|
1,705,029
|
||||||||
NAVISTAR INTERNATIONAL CORP
|
84,765
|
shares
|
2,837,932
|
||||||||
NEC CORP
|
728,000
|
shares
|
2,143,409
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
NEOPOST SA
|
6,036
|
shares
|
$ |
344,341
|
|||||||
NESTE OIL OYJ
|
52,349
|
shares
|
1,270,699
|
||||||||
NETAPP INC
|
208,600
|
shares
|
8,646,470
|
||||||||
NETCARE LTD
|
261,065
|
shares
|
856,395
|
||||||||
NETFLIX INC
|
33,422
|
shares
|
11,417,289
|
||||||||
NEUSTAR INC
|
128,000
|
shares
|
3,558,400
|
||||||||
NEW CHINA LIFE INSURANCE CO LT
|
121,800
|
shares
|
614,902
|
||||||||
NEW GOLD INC
|
595,400
|
shares
|
2,560,220
|
||||||||
NEW ORIENTAL EDUCATION & TECHN ADR
|
165,500
|
shares
|
3,377,855
|
||||||||
NEW WORLD DEVELOPMENT CO LTD
|
2,364,909
|
shares
|
2,720,232
|
||||||||
NEW YORK REIT INC
|
5,180
|
shares
|
54,856
|
||||||||
NEWFIELD EXPLORATION CO
|
324,495
|
shares
|
8,800,304
|
||||||||
NEWS CORP
|
231,100
|
shares
|
3,625,959
|
||||||||
NEXT PLC
|
20,859
|
shares
|
2,218,164
|
||||||||
NIC INC
|
327,554
|
shares
|
5,892,696
|
||||||||
NICE-SYSTEMS LTD
|
75,634
|
shares
|
3,830,843
|
||||||||
NIDEC CORP NPV
|
9,400
|
shares
|
615,534
|
||||||||
NIHON KOHDEN CORP
|
9,500
|
shares
|
473,831
|
||||||||
NIKE INC
|
312,516
|
shares
|
30,048,413
|
||||||||
NIPPON BUILDING FUND INC
|
302
|
shares
|
1,521,398
|
||||||||
NIPPON ELECTRIC GLASS CO LTD
|
204,000
|
shares
|
927,311
|
||||||||
NIPPON EXPRESS CO LTD
|
150,000
|
shares
|
768,172
|
||||||||
NIPPON HEALTHCARE INVESTMENT C
|
6
|
shares
|
13,952
|
||||||||
NIPPON PROLOGIS REIT INC
|
1,251
|
shares
|
2,719,134
|
||||||||
NIPPON TELEVISION HOLDINGS INC
|
22,200
|
shares
|
328,848
|
||||||||
NISSAN MOTOR CO LTD
|
361,500
|
shares
|
3,187,001
|
||||||||
NISSIN FOODS HOLDINGS CO LTD
|
6,100
|
shares
|
293,565
|
||||||||
NITORI HOLDINGS CO LTD
|
6,400
|
shares
|
345,903
|
||||||||
NITTO DENKO CORP
|
31,800
|
shares
|
1,796,417
|
||||||||
NN GROUP NV
|
4,136
|
shares
|
124,343
|
||||||||
NOBLE CORP PLC
|
309,000
|
shares
|
5,120,130
|
||||||||
NOKIA OYJ
|
301,641
|
shares
|
2,394,405
|
||||||||
NOKIA OYJ
|
928,993
|
shares
|
7,301,885
|
||||||||
NOKIAN RENKAAT OYJ
|
24,406
|
shares
|
599,214
|
||||||||
NOMURA HOLDINGS INC
|
283,500
|
shares
|
1,632,025
|
||||||||
NOMURA RESEARCH INSTITUTE LTD
|
27,000
|
shares
|
834,355
|
||||||||
NORDEA BANK AB
|
117,468
|
shares
|
1,364,014
|
||||||||
NORSK HYDRO ASA
|
484,234
|
shares
|
2,741,014
|
||||||||
NORTHSTAR ASSET MANAGEMENT GRO
|
81,605
|
shares
|
1,841,825
|
||||||||
NORTHSTAR REALTY FINANCE CORP
|
138,960
|
shares
|
2,442,917
|
||||||||
NORWEGIAN PROPERTY ASA
|
78,358
|
shares
|
105,557
|
||||||||
NOVARTIS AG
|
72,329
|
shares
|
6,722,270
|
||||||||
NOVARTIS AG
|
233,695
|
shares
|
21,654,179
|
||||||||
NOVO NORDISK A/S
|
294,829
|
shares
|
12,471,093
|
||||||||
NOVO NORDISK A/S
|
652,751
|
shares
|
27,624,422
|
||||||||
NOVOZYMES A/S
|
183,066
|
shares
|
7,728,710
|
||||||||
NOW INC
|
18,750
|
shares
|
482,438
|
||||||||
NRG ENERGY INC
|
532,445
|
shares
|
14,349,393
|
||||||||
NSI NV
|
238,000
|
shares
|
1,060,386
|
||||||||
NSK LTD ORD
|
122,000
|
shares
|
1,467,317
|
||||||||
NTT URBAN DEVELOPMENT CORP
|
86,400
|
shares
|
881,331
|
||||||||
NVR INC
|
1,100
|
shares
|
1,402,863
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
NXP SEMICONDUCTORS NV
|
23,959
|
shares
|
$ |
1,830,468
|
|||||||
OBAYASHI CORP
|
119,000
|
shares
|
777,155
|
||||||||
OBIC BUSINESS CONSULTANTS LTD
|
11,500
|
shares
|
319,884
|
||||||||
OBIC CO LTD
|
64,200
|
shares
|
2,107,069
|
||||||||
OCADO GROUP PLC
|
523,545
|
shares
|
3,265,350
|
||||||||
OCCIDENTAL PETROLEUM CORP
|
60,536
|
shares
|
4,879,807
|
||||||||
ODONTOPREV SA
|
178,761
|
shares
|
663,074
|
||||||||
OFG BANCORP
|
253,845
|
shares
|
4,226,519
|
||||||||
OGE ENERGY CORP
|
149,520
|
shares
|
5,304,970
|
||||||||
OLD DOMINION FREIGHT LINE INC
|
122,875
|
shares
|
9,540,015
|
||||||||
OMNICARE INC
|
50,067
|
shares
|
3,651,386
|
||||||||
OMNICOM GROUP INC
|
21,344
|
shares
|
1,653,520
|
||||||||
OMRON CORP
|
39,500
|
shares
|
1,795,529
|
||||||||
ON SEMICONDUCTOR CORP
|
179,599
|
shares
|
1,819,338
|
||||||||
OPAP SA
|
38,326
|
shares
|
412,750
|
||||||||
OPUS BANK
|
59,174
|
shares
|
1,678,766
|
||||||||
ORACLE CORP
|
126,268
|
shares
|
5,678,272
|
||||||||
ORANGE SA ADR
|
61,827
|
shares
|
1,046,113
|
||||||||
ORANGE SA
|
162,853
|
shares
|
2,788,403
|
||||||||
ORBITAL SCIENCES CORP
|
267,751
|
shares
|
7,199,824
|
||||||||
O'REILLY AUTOMOTIVE INC
|
58,287
|
shares
|
11,227,242
|
||||||||
ORICA LTD
|
39,570
|
shares
|
613,641
|
||||||||
ORION OYJ
|
32,836
|
shares
|
1,023,925
|
||||||||
ORIX CORP
|
40,700
|
shares
|
517,173
|
||||||||
ORIX JREIT INC
|
868
|
shares
|
1,222,056
|
||||||||
ORKLA ASA
|
108,174
|
shares
|
737,988
|
||||||||
OSRAM LICHT AG
|
32,501
|
shares
|
1,288,380
|
||||||||
OTSUKA HOLDINGS CO LTD
|
63,600
|
shares
|
1,918,689
|
||||||||
OUTFRONT MEDIA INC
|
159,600
|
shares
|
4,283,664
|
||||||||
OUTOTEC OYJ NPV
|
15,413
|
shares
|
81,801
|
||||||||
OWENS-ILLINOIS INC
|
5,221
|
shares
|
140,915
|
||||||||
PACIFIC BASIN SHIPPING LTD
|
589,797
|
shares
|
238,053
|
||||||||
PADDY POWER PLC
|
5,798
|
shares
|
483,464
|
||||||||
PANDORA A/S
|
3,192
|
shares
|
261,688
|
||||||||
PARAGON OFFSHORE PLC
|
131,200
|
shares
|
363,424
|
||||||||
PARAMOUNT GROUP INC
|
135,941
|
shares
|
2,527,143
|
||||||||
PARK24 CO LTD
|
11,700
|
shares
|
173,019
|
||||||||
PCCW LTD
|
880,000
|
shares
|
601,430
|
||||||||
PEBBLEBROOK HOTEL TRUST
|
26,500
|
shares
|
1,209,195
|
||||||||
PENTAIR PLC
|
101,685
|
shares
|
6,753,918
|
||||||||
PEPSICO INC
|
96,800
|
shares
|
9,153,408
|
||||||||
PERKINELMER INC
|
59,520
|
shares
|
2,602,810
|
||||||||
PERRIGO CO PLC
|
64,470
|
shares
|
10,776,805
|
||||||||
PEUGEOT SA
|
121,069
|
shares
|
1,497,225
|
||||||||
PFEIFFER VACUUM TECHNOLOGY AG
|
2,513
|
shares
|
208,603
|
||||||||
PFIZER INC
|
1,191,870
|
shares
|
37,126,751
|
||||||||
PG&E CORP
|
244,200
|
shares
|
13,001,208
|
||||||||
PHILIP MORRIS INTERNATIONAL IN
|
79,800
|
shares
|
6,499,710
|
||||||||
PHILLIPS 66
|
87,228
|
shares
|
6,254,248
|
||||||||
PICC PROPERTY & CASUALTY CO LT
|
72,000
|
shares
|
140,010
|
||||||||
PING AN INSURANCE GROUP CO OF CHINA
|
73,500
|
shares
|
749,705
|
||||||||
PINNACLE WEST CAPITAL CORP
|
61,335
|
shares
|
4,189,794
|
||||||||
PLATINUM UNDERWRITERS HOLDINGS
|
107,400
|
shares
|
7,885,308
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
PLEXUS CORP
|
72,485
|
shares
|
$ |
2,987,107
|
|||||||
PNC FINANCIAL SERVICES GROUP I
|
65,200
|
shares
|
5,948,196
|
||||||||
PNM RESOURCES INC
|
104,440
|
shares
|
3,094,557
|
||||||||
POLARIS INDUSTRIES INC
|
37,390
|
shares
|
5,654,864
|
||||||||
POLYONE CORP
|
118,544
|
shares
|
4,494,003
|
||||||||
POPULAR INC
|
127,925
|
shares
|
4,355,846
|
||||||||
POST PROPERTIES INC
|
31,300
|
shares
|
1,839,501
|
||||||||
POUNDLAND GROUP PLC
|
47,606
|
shares
|
243,622
|
||||||||
PRECIOUS SHIPPING PCL
|
342,382
|
shares
|
141,532
|
||||||||
PRECISION CASTPARTS CORP
|
53,571
|
shares
|
12,904,182
|
||||||||
PREMIER FARNELL PLC
|
80,555
|
shares
|
221,065
|
||||||||
PRICELINE GROUP INC/THE
|
27,143
|
shares
|
30,948,720
|
||||||||
PRIMORIS SERVICES CORP
|
93,095
|
shares
|
2,163,528
|
||||||||
PROASSURANCE CORP
|
219,100
|
shares
|
9,892,365
|
||||||||
PROCTER & GAMBLE CO/THE
|
115,200
|
shares
|
10,493,568
|
||||||||
PROLOGIS INC
|
202,402
|
shares
|
8,709,358
|
||||||||
PROLOGIS PROPERTY MEXICO SA DE
|
191,896
|
shares
|
355,287
|
||||||||
PROMOTORA Y OPERADORA DE INFRA
|
34,419
|
shares
|
414,226
|
||||||||
PROSIEBENSAT.1 MEDIA AG
|
5,775
|
shares
|
243,393
|
||||||||
PROTO CORP
|
20,700
|
shares
|
299,550
|
||||||||
PRUDENTIAL FINANCIAL INC
|
38,417
|
shares
|
3,475,202
|
||||||||
PRUDENTIAL PLC
|
611,296
|
shares
|
14,221,196
|
||||||||
PS BUSINESS PARKS INC
|
1,311
|
shares
|
104,277
|
||||||||
PSP SWISS PROPERTY AG
|
25,320
|
shares
|
2,186,339
|
||||||||
PTC INC
|
82,065
|
shares
|
3,007,682
|
||||||||
PTT GLOBAL CHEMICAL PCL
|
181,500
|
shares
|
282,732
|
||||||||
PUBLIC BANK BHD
|
91,723
|
shares
|
480,060
|
||||||||
PUBLIC STORAGE
|
43,600
|
shares
|
8,059,460
|
||||||||
PUBLICIS GROUPE SA
|
10,634
|
shares
|
767,428
|
||||||||
PUMA BIOTECHNOLOGY INC
|
9,000
|
shares
|
1,703,430
|
||||||||
PZ CUSSONS PLC
|
14,556
|
shares
|
69,451
|
||||||||
QEP RESOURCES INC
|
105,177
|
shares
|
2,126,679
|
||||||||
QIAGEN NV
|
46,273
|
shares
|
1,084,053
|
||||||||
QLIK TECHNOLOGIES INC
|
238,000
|
shares
|
7,351,820
|
||||||||
QUALCOMM INC
|
370,728
|
shares
|
27,556,212
|
||||||||
QUALICORP SA
|
40,274
|
shares
|
421,194
|
||||||||
QUBE HOLDINGS LTD
|
77,727
|
shares
|
154,567
|
||||||||
QUEST DIAGNOSTICS INC
|
38,758
|
shares
|
2,599,111
|
||||||||
QUINTAIN ESTATES & DEVELOPMENT
|
425,105
|
shares
|
631,360
|
||||||||
RAIFFEISEN BANK INTERNATIONAL
|
28,621
|
shares
|
434,123
|
||||||||
RAIT FINANCIAL TRUST
|
275,768
|
shares
|
2,115,140
|
||||||||
RAKUTEN INC
|
842,100
|
shares
|
11,817,283
|
||||||||
RAMCO-GERSHENSON PROPERTIES TR
|
50,700
|
shares
|
950,118
|
||||||||
RAMSAY HEALTH CARE LTD AUD0.10
|
3,771
|
shares
|
176,210
|
||||||||
RAND MERCHANT INSURANCE HOLDIN
|
16,051
|
shares
|
56,691
|
||||||||
RANDSTAD HOLDING NV
|
10,239
|
shares
|
496,331
|
||||||||
RATHBONE BROTHERS PLC
|
31,462
|
shares
|
1,003,709
|
||||||||
RAYTHEON CO
|
113,086
|
shares
|
12,232,513
|
||||||||
REALTY INCOME CORP
|
16,337
|
shares
|
779,438
|
||||||||
RECRUIT HOLDINGS CO LTD
|
20,200
|
shares
|
579,574
|
||||||||
RED ELECTRICA CORP SA
|
20,341
|
shares
|
1,801,964
|
||||||||
RED HAT INC
|
184,411
|
shares
|
12,750,176
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
REGENCY CENTERS CORP
|
49,131
|
shares
|
$ |
3,133,575
|
|||||||
REMGRO LTD
|
90,816
|
shares
|
1,993,850
|
||||||||
RENAISSANCERE HOLDINGS LTD
|
32,000
|
shares
|
3,111,040
|
||||||||
RENAULT SA
|
21,072
|
shares
|
1,543,404
|
||||||||
REPUBLIC SERVICES INC
|
81,200
|
shares
|
3,268,300
|
||||||||
RESMED INC
|
104,948
|
shares
|
596,036
|
||||||||
RESOLUTE FOREST PRODUCTS INC
|
541,000
|
shares
|
9,527,010
|
||||||||
RESONA HOLDINGS INC
|
93,800
|
shares
|
478,721
|
||||||||
REXEL SA
|
61,412
|
shares
|
1,103,527
|
||||||||
REXFORD INDUSTRIAL REALTY INC
|
22,675
|
shares
|
356,224
|
||||||||
REXNORD CORP
|
299,500
|
shares
|
8,448,895
|
||||||||
RICE ENERGY INC
|
97,528
|
shares
|
2,045,162
|
||||||||
RICOH CO LTD
|
38,100
|
shares
|
390,549
|
||||||||
RIGHTMOVE PLC
|
35,346
|
shares
|
1,238,946
|
||||||||
RIOCAN REIT
|
89,594
|
shares
|
2,044,437
|
||||||||
RITCHIE BROS AUCTIONEERS INC
|
299,250
|
shares
|
8,046,833
|
||||||||
RITE AID CORP
|
595,740
|
shares
|
4,479,965
|
||||||||
ROBERT HALF INTERNATIONAL INC
|
119,500
|
shares
|
6,976,410
|
||||||||
ROCHE HOLDING AG
|
46,602
|
shares
|
12,658,260
|
||||||||
ROCHE HOLDING AG
|
530,657
|
shares
|
18,037,031
|
||||||||
ROCKET INTERNET AG
|
65,145
|
shares
|
4,051,007
|
||||||||
ROHM CO LTD
|
13,100
|
shares
|
804,170
|
||||||||
ROLLS ROYCE HLDGS C SHS
|
64,696,860
|
shares
|
100,879
|
||||||||
ROLLS-ROYCE HOLDINGS PLC
|
718,854
|
shares
|
9,751,596
|
||||||||
ROSETTA RESOURCES INC
|
135,000
|
shares
|
3,011,850
|
||||||||
ROTORK PLC
|
7,665
|
shares
|
277,995
|
||||||||
ROWAN COS PLC
|
258,900
|
shares
|
6,037,548
|
||||||||
ROYAL DUTCH SHELL PLC ADR
|
81,200
|
shares
|
5,436,340
|
||||||||
RPM INTERNATIONAL INC
|
190,800
|
shares
|
9,675,468
|
||||||||
RWE AG (NEU) NPV 'A'
|
45,812
|
shares
|
1,421,903
|
||||||||
RYLAND GROUP INC/THE
|
107,890
|
shares
|
4,160,238
|
||||||||
RYMAN HEALTHCARE LTD
|
34,313
|
shares
|
228,498
|
||||||||
RYMAN HOSPITALITY PROPERTIES I
|
87,010
|
shares
|
4,588,907
|
||||||||
SAAB AB
|
7,170
|
shares
|
185,289
|
||||||||
SAFESTORE HOLDINGS PLC
|
272,971
|
shares
|
987,462
|
||||||||
SALESFORCE.COM INC
|
271,327
|
shares
|
16,092,404
|
||||||||
SALIX PHARMACEUTICALS LTD
|
32,000
|
shares
|
3,678,080
|
||||||||
SALLY BEAUTY HOLDINGS INC
|
758,931
|
shares
|
23,329,539
|
||||||||
SAMSONITE INTERNATIONAL SA
|
105,000
|
shares
|
311,418
|
||||||||
SAMSUNG ELECTRONICS CO LTD GDR
|
1,599
|
shares
|
967,395
|
||||||||
SAMSUNG ELECTRONICS CO LTD GDR
|
1,597
|
shares
|
754,803
|
||||||||
SAMSUNG ELECTRONICS CO LTD GDR
|
393
|
shares
|
237,234
|
||||||||
SAMSUNG ELECTRONICS CO LTD
|
2,870
|
shares
|
3,464,941
|
||||||||
SAMSUNG FIRE & MARINE INSURANC
|
2,559
|
shares
|
657,706
|
||||||||
SANDVIK AB
|
599,905
|
shares
|
5,854,788
|
||||||||
SANLAM ZAR0.01
|
272,649
|
shares
|
1,649,740
|
||||||||
SANMINA CORP
|
100,000
|
shares
|
2,353,000
|
||||||||
SANOFI
|
92,850
|
shares
|
8,500,639
|
||||||||
SANOFI ADR
|
300,040
|
shares
|
13,684,824
|
||||||||
SANRIO CO LTD
|
85,500
|
shares
|
2,139,372
|
||||||||
SANTEN PHARMACEUTICAL CO LTD
|
29,700
|
shares
|
1,602,728
|
||||||||
SAP SE ADR
|
31,547
|
shares
|
2,197,248
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
SAP SE
|
15,657
|
shares
|
$ |
1,103,780
|
|||||||
SBI HOLDINGS INC/JAPAN
|
287,700
|
shares
|
3,181,869
|
||||||||
SCENTRE GROUP
|
1,454,611
|
shares
|
4,166,333
|
||||||||
SCHIBSTED ASA
|
89,009
|
shares
|
5,623,645
|
||||||||
SCHINDLER HOLDING AG
|
6,890
|
shares
|
988,793
|
||||||||
SCHLUMBERGER LTD
|
299,985
|
shares
|
25,621,719
|
||||||||
SCHRODERS PLC
|
41,593
|
shares
|
1,741,975
|
||||||||
SCRIPPS NETWORKS INTERACTIVE I
|
263,618
|
shares
|
19,842,527
|
||||||||
SEAGATE TECHNOLOGY PLC
|
29,733
|
shares
|
1,977,245
|
||||||||
SEB SA
|
1,412
|
shares
|
105,198
|
||||||||
SECURITAS AB
|
18,203
|
shares
|
219,624
|
||||||||
SECURITY BANK CORP
|
266,150
|
shares
|
904,371
|
||||||||
SEGRO PLC
|
59,343
|
shares
|
342,641
|
||||||||
SEIKO EPSON CORP
|
27,200
|
shares
|
1,154,744
|
||||||||
SEMEN INDONESIA PERSERO TBK PT
|
153,780
|
shares
|
201,150
|
||||||||
SENIOR HOUSING PROPERTIES TRUS
|
106,490
|
shares
|
2,354,494
|
||||||||
SENSATA TECHNOLOGIES HOLDING N
|
11,428
|
shares
|
598,941
|
||||||||
SEOUL SEMICONDUCTOR CO LTD
|
29,716
|
shares
|
546,116
|
||||||||
SERIA CO LTD
|
3,900
|
shares
|
130,114
|
||||||||
SERVICEMASTER GLOBAL HOLDINGS
|
175,000
|
shares
|
4,684,750
|
||||||||
SES SA
|
55,455
|
shares
|
1,993,975
|
||||||||
SEVEN & I HOLDINGS CO LTD
|
44,000
|
shares
|
1,599,516
|
||||||||
SEVERSTAL PAO GDR
|
108,264
|
shares
|
905,628
|
||||||||
SGS SA
|
788
|
shares
|
1,621,758
|
||||||||
SHAFTESBURY PLC
|
15,291
|
shares
|
186,210
|
||||||||
SHANGRI-LA ASIA LTD
|
343,105
|
shares
|
473,410
|
||||||||
SHENGUAN HOLDINGS GROUP LTD
|
867,495
|
shares
|
288,611
|
||||||||
SHIMADZU CORP
|
86,000
|
shares
|
883,706
|
||||||||
SHIMAMURA CO LTD
|
1,900
|
shares
|
164,811
|
||||||||
SHIMANO INC
|
2,100
|
shares
|
274,115
|
||||||||
SHIONOGI & CO JPY50
|
5,400
|
shares
|
140,748
|
||||||||
SHIRE PLC ADR
|
64,560
|
shares
|
13,721,582
|
||||||||
SHIRE PLC
|
70,453
|
shares
|
4,979,675
|
||||||||
SHISEIDO CO LTD
|
8,100
|
shares
|
114,378
|
||||||||
SHIZUOKA BANK LTD/THE
|
37,000
|
shares
|
341,624
|
||||||||
SHUTTERSTOCK INC
|
98,700
|
shares
|
6,820,170
|
||||||||
SIKA AG
|
390
|
shares
|
1,152,358
|
||||||||
SILICONWARE PRECISION INDUSTRI ADR
|
49,795
|
shares
|
375,952
|
||||||||
SILICONWARE PRECISION INDUSTRI
|
580,000
|
shares
|
880,039
|
||||||||
SIMON PROPERTY GROUP INC
|
116,965
|
shares
|
21,300,496
|
||||||||
SINGAPORE EXCHANGE LTD
|
353,000
|
shares
|
2,080,545
|
||||||||
SINO LAND CO LTD
|
245,792
|
shares
|
396,825
|
||||||||
SIRONA DENTAL SYSTEMS INC
|
58,300
|
shares
|
5,093,671
|
||||||||
SISTEMA JSFC GDR
|
82,983
|
shares
|
315,335
|
||||||||
SIX FLAGS ENTERTAINMENT CORP
|
42,716
|
shares
|
1,843,195
|
||||||||
SK KAKEN CO LTD
|
2,000
|
shares
|
154,969
|
||||||||
SKANDINAVISKA ENSKILDA BANKEN
|
99,749
|
shares
|
1,268,484
|
||||||||
SKANSKA AB
|
57,293
|
shares
|
1,228,818
|
||||||||
SL GREEN REALTY CORP
|
41,900
|
shares
|
4,986,938
|
||||||||
SMA SOLAR TECHNOLOGY AG
|
38,256
|
shares
|
708,263
|
||||||||
SMC CORP/JAPAN
|
38,500
|
shares
|
10,266,024
|
||||||||
SMITH & NEPHEW PLC ADR
|
22,965
|
shares
|
843,734
|
||||||||
SMITH & NEPHEW PLC
|
47,879
|
shares
|
886,906
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
SMITHS GROUP PLC
|
12,061
|
shares
|
$ |
206,491
|
|||||||
SNAM SPA
|
219,529
|
shares
|
1,089,128
|
||||||||
SOCIEDAD QUIMICA Y MINERA DE C ADR
|
96,100
|
shares
|
2,294,868
|
||||||||
SOCIETE BIC SA
|
1,780
|
shares
|
236,605
|
||||||||
SODEXO SA
|
13,373
|
shares
|
1,315,111
|
||||||||
SOFTBANK CORP
|
363,500
|
shares
|
21,859,418
|
||||||||
SOHO CHINA LTD
|
766,000
|
shares
|
541,297
|
||||||||
SOJITZ CORP
|
422,200
|
shares
|
595,119
|
||||||||
SOLARWINDS INC
|
80,700
|
shares
|
4,021,281
|
||||||||
SOLERA HOLDINGS INC
|
189,100
|
shares
|
9,678,138
|
||||||||
SONOVA HOLDING AG
|
21,449
|
shares
|
3,170,994
|
||||||||
SONY CORP
|
141,800
|
shares
|
2,924,229
|
||||||||
SONY FINANCIAL HOLDINGS INC
|
56,900
|
shares
|
845,705
|
||||||||
SOUTHWEST AIRLINES CO
|
319,000
|
shares
|
13,500,080
|
||||||||
SOVRAN SELF STORAGE INC
|
3,058
|
shares
|
266,719
|
||||||||
SPECTRA ENERGY CORP
|
84,000
|
shares
|
3,049,200
|
||||||||
SPECTRIS PLC
|
33,351
|
shares
|
1,093,094
|
||||||||
SPH REIT
|
273,000
|
shares
|
214,263
|
||||||||
SPIRAX-SARCO ENGINEERING PLC
|
10,387
|
shares
|
465,795
|
||||||||
SPIRIT AEROSYSTEMS HOLDINGS IN
|
65,840
|
shares
|
2,833,754
|
||||||||
SPIRIT REALTY CAPITAL INC
|
181,800
|
shares
|
2,161,602
|
||||||||
SPLUNK INC
|
135,249
|
shares
|
7,972,928
|
||||||||
SPONDA OYJ
|
77,950
|
shares
|
341,451
|
||||||||
SPRINT CORP
|
581,403
|
shares
|
2,412,822
|
||||||||
ST MODWEN PROPERTIES PLC
|
56,673
|
shares
|
340,921
|
||||||||
STAGECOACH GROUP PLC
|
251,239
|
shares
|
1,451,805
|
||||||||
STANDARD BANK GROUP LTD
|
103,503
|
shares
|
1,283,683
|
||||||||
STANDARD CHARTERED PLC
|
299,665
|
shares
|
4,499,643
|
||||||||
STANLEY ELECTRIC CO LTD
|
25,469
|
shares
|
556,560
|
||||||||
STARBUCKS CORP
|
161,850
|
shares
|
13,279,792
|
||||||||
STARWOOD HOTELS & RESORTS WORL
|
45,325
|
shares
|
3,674,498
|
||||||||
STELLA INTERNATIONAL HOLDINGS
|
274,909
|
shares
|
726,724
|
||||||||
STILLWATER MINING CO
|
124,233
|
shares
|
1,831,194
|
||||||||
STMICROELECTRONICS NV
|
30,051
|
shares
|
224,481
|
||||||||
STMICROELECTRONICS NV
|
183,092
|
shares
|
1,372,505
|
||||||||
STOCKLAND
|
1,004,473
|
shares
|
3,386,683
|
||||||||
STORA ENSO OYJ
|
64,362
|
shares
|
579,047
|
||||||||
STORE CAPITAL CORP
|
18,749
|
shares
|
405,166
|
||||||||
STOREBRAND ASA
|
61,936
|
shares
|
241,216
|
||||||||
STRATEGIC HOTELS & RESORTS INC
|
121,400
|
shares
|
1,606,122
|
||||||||
SUEZ ENVIRONNEMENT CO EUR4
|
8,847
|
shares
|
154,531
|
||||||||
SULZER AG
|
13,471
|
shares
|
1,437,051
|
||||||||
SUMITOMO CHEMICAL CO LTD
|
109,000
|
shares
|
435,473
|
||||||||
SUMITOMO CORP
|
277,900
|
shares
|
2,878,784
|
||||||||
SUMITOMO DAINIPPON PHARMA CO L
|
23,800
|
shares
|
232,452
|
||||||||
SUMITOMO ELECTRIC INDUSTRIES L
|
116,900
|
shares
|
1,475,205
|
||||||||
SUMITOMO HEAVY INDUSTRIES LTD
|
124,000
|
shares
|
675,357
|
||||||||
SUMITOMO METAL MINING CO LTD
|
39,000
|
shares
|
588,765
|
||||||||
SUMITOMO MITSUI FINANCIAL GROU
|
12,600
|
shares
|
459,777
|
||||||||
SUMITOMO REALTY & DEVELOPMENT
|
199,900
|
shares
|
6,888,417
|
||||||||
SUN COMMUNITIES INC
|
23,800
|
shares
|
1,438,948
|
||||||||
SUN HUNG KA-CW16
|
18,025
|
shares
|
45,557
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
SUN HUNG KAI PROPERTIES LTD
|
913,145
|
shares
|
$ |
13,929,999
|
|||||||
SUNDRUG CO LTD
|
10,200
|
shares
|
419,842
|
||||||||
SUNSTONE HOTEL INVESTORS INC
|
372,635
|
shares
|
6,152,204
|
||||||||
SUNTEC REAL ESTATE INVESTMENT
|
808,000
|
shares
|
1,195,140
|
||||||||
SUNTRUST BANKS INC
|
120,000
|
shares
|
5,028,000
|
||||||||
SUPER GROUP LTD/SINGAPORE
|
463,000
|
shares
|
400,072
|
||||||||
SURGUTNEFTEGAS OAO ADR
|
230,300
|
shares
|
1,188,348
|
||||||||
SURGUTNEFTEGAS OAO ADR
|
18,858
|
shares
|
80,109
|
||||||||
SURUGA BANK LTD Y50
|
11,500
|
shares
|
213,224
|
||||||||
SVENSKA CELLULOSA AB SCA
|
46,830
|
shares
|
1,010,390
|
||||||||
SVENSKA HANDELSBANKEN AB
|
196,125
|
shares
|
9,184,610
|
||||||||
SWATCH GROUP AG/THE
|
12,234
|
shares
|
1,058,848
|
||||||||
SWATCH GROUP AG/THE
|
6,055
|
shares
|
2,706,819
|
||||||||
SWEDISH MATCH AB
|
84,187
|
shares
|
2,632,642
|
||||||||
SWIRE PROPERTIES LTD
|
953,600
|
shares
|
2,815,972
|
||||||||
SWISS LIFE HOLDING AG
|
2,407
|
shares
|
572,651
|
||||||||
SWISS PRIME SITE AG
|
2,536
|
shares
|
186,311
|
||||||||
SWISSCOM AG CHF1.00
|
5,019
|
shares
|
2,639,186
|
||||||||
SYDBANK A/S
|
45,564
|
shares
|
1,408,291
|
||||||||
SYMANTEC CORP
|
550,000
|
shares
|
14,110,250
|
||||||||
SYMRISE AG
|
31,823
|
shares
|
1,930,377
|
||||||||
SYNERGY RESOURCES CORP
|
252,317
|
shares
|
3,171,625
|
||||||||
SYNGENTA AG
|
33,286
|
shares
|
10,719,589
|
||||||||
SYNNEX CORP
|
27,235
|
shares
|
2,128,688
|
||||||||
SYNOPSYS INC
|
125,000
|
shares
|
5,433,750
|
||||||||
SYNOVUS FINANCIAL CORP
|
171,878
|
shares
|
4,656,175
|
||||||||
SYSMEX CORP
|
13,800
|
shares
|
620,393
|
||||||||
T&D HOLDINGS INC
|
67,800
|
shares
|
824,491
|
||||||||
TAG IMMOBILIEN AG
|
8,550
|
shares
|
99,528
|
||||||||
TAIHEIYO CEMENT CORP
|
63,000
|
shares
|
199,149
|
||||||||
TAIWAN SEMICONDUCTOR MANUFACTU ADR
|
89,484
|
shares
|
2,002,652
|
||||||||
TAIWAN SEMICONDUCTOR MANUFACTU
|
48,000
|
shares
|
214,164
|
||||||||
TAKEDA PHARMACEUTICAL CO LTD
|
52,500
|
shares
|
2,187,883
|
||||||||
TANGER FACTORY OUTLET CENTERS
|
93,820
|
shares
|
3,467,587
|
||||||||
TARGET CORP
|
118,500
|
shares
|
8,995,335
|
||||||||
TATA MOTORS LTD ADR
|
26,486
|
shares
|
1,119,828
|
||||||||
TATE & LYLE PLC
|
17,568
|
shares
|
165,179
|
||||||||
TAUBMAN CENTERS INC
|
19,900
|
shares
|
1,520,758
|
||||||||
TAYLOR MORRISON HOME CORP
|
299,000
|
shares
|
5,648,110
|
||||||||
TDC A/S
|
158,847
|
shares
|
1,219,149
|
||||||||
TDK CORP
|
26,700
|
shares
|
1,594,495
|
||||||||
TE CONNECTIVITY LTD
|
283,893
|
shares
|
17,956,232
|
||||||||
TEAM HEALTH HOLDINGS INC
|
140,500
|
shares
|
8,082,965
|
||||||||
TECH DATA CORP
|
51,936
|
shares
|
3,283,913
|
||||||||
TECHNIP SA
|
7,603
|
shares
|
454,618
|
||||||||
TECHTRONIC INDUSTRIES CO LTD
|
353,500
|
shares
|
1,139,609
|
||||||||
TEIJIN LTD
|
41,000
|
shares
|
109,771
|
||||||||
TELECOM ITALIA SPA
|
1,142,743
|
shares
|
958,955
|
||||||||
TELECOM ITALIA SPA
|
2,359,831
|
shares
|
2,518,563
|
||||||||
TELEFONAKTIEBOLAGET LM ERICSSO ADR
|
77,009
|
shares
|
931,809
|
||||||||
TELEFONAKTIEBOLAGET LM ERICSSO
|
318,617
|
shares
|
3,840,132
|
||||||||
TELEKOMUNIKASI INDONESIA TBK P ADR
|
5,190
|
shares
|
234,744
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
TELENET GROUP HOLDING NV
|
18,634
|
shares
|
$ |
1,047,020
|
|||||||
TEMPUR SEALY INTERNATIONAL INC
|
71,000
|
shares
|
3,898,610
|
||||||||
TENCENT HOLDINGS LTD
|
1,972,133
|
shares
|
28,609,832
|
||||||||
TEREX CORP
|
13,595
|
shares
|
379,029
|
||||||||
TERUMO CORP
|
65,200
|
shares
|
1,499,282
|
||||||||
TESLA MOTORS INC
|
40,478
|
shares
|
9,002,712
|
||||||||
TEVA PHARMACEUTICAL INDUSTRIES
|
31,479
|
shares
|
1,795,819
|
||||||||
TEVA PHARMACEUTICAL INDUSTRIES ADR
|
151,806
|
shares
|
8,730,363
|
||||||||
TEXAS INSTRUMENTS INC
|
138,400
|
shares
|
7,399,556
|
||||||||
TEXTRON INC
|
56,775
|
shares
|
2,390,795
|
||||||||
THERMO FISHER SCIENTIFIC INC
|
94,100
|
shares
|
11,789,789
|
||||||||
THOR INDUSTRIES INC
|
119,645
|
shares
|
6,684,566
|
||||||||
TIDEWATER INC
|
261,465
|
shares
|
8,474,081
|
||||||||
TIFFANY & CO
|
120,903
|
shares
|
12,919,694
|
||||||||
TIKKURILA OYJ
|
5,248
|
shares
|
92,016
|
||||||||
TIME INC
|
92,007
|
shares
|
2,264,292
|
||||||||
TIME WARNER CABLE INC
|
178,800
|
shares
|
27,188,328
|
||||||||
TIME WARNER INC
|
417,929
|
shares
|
35,699,495
|
||||||||
TIMKEN CO/THE
|
188,385
|
shares
|
8,040,272
|
||||||||
TJX COS INC/THE
|
123,669
|
shares
|
8,481,220
|
||||||||
TK CORP
|
32,088
|
shares
|
335,725
|
||||||||
T-MOBILE US INC
|
37,600
|
shares
|
1,012,944
|
||||||||
TOBU RAILWAY CO LTD
|
177,000
|
shares
|
764,719
|
||||||||
TOFAS TURK OTOMOBIL FABRIKASI
|
21,421
|
shares
|
146,151
|
||||||||
TOKIO MARINE HOLDINGS INC
|
84,900
|
shares
|
2,785,388
|
||||||||
TOKYO TATEMONO CO LTD
|
133,500
|
shares
|
980,971
|
||||||||
TOP GLOVE CORP BHD
|
295,523
|
shares
|
382,029
|
||||||||
TOPPAN PRINTING CO LTD
|
96,000
|
shares
|
630,151
|
||||||||
TORC OIL & GAS LTD NEW
|
44,537
|
shares
|
296,080
|
||||||||
TOSHIBA PLANT SYSTEMS & SERVIC
|
11,000
|
shares
|
171,750
|
||||||||
TOTO LTD
|
17,000
|
shares
|
199,641
|
||||||||
TOTVS SA
|
22,601
|
shares
|
297,583
|
||||||||
TOURMALINE OIL CORP
|
5,863
|
shares
|
195,897
|
||||||||
TOYOTA INDUSTRIES CORP
|
33,800
|
shares
|
1,750,682
|
||||||||
TOYOTA MOTOR CORP
|
23,800
|
shares
|
1,500,316
|
||||||||
TOYOTA MOTOR CORP ADR
|
81,800
|
shares
|
10,264,264
|
||||||||
TRAVELERS COS INC/THE
|
131,758
|
shares
|
13,946,584
|
||||||||
TRAVIS PERKINS PLC
|
13,907
|
shares
|
402,681
|
||||||||
TREEHOUSE FOODS INC
|
67,000
|
shares
|
5,730,510
|
||||||||
TREND MICRO INC/JAPAN
|
3,000
|
shares
|
83,573
|
||||||||
TRINET GROUP INC
|
157,900
|
shares
|
4,939,112
|
||||||||
TRINITY INDUSTRIES INC
|
261,310
|
shares
|
7,319,293
|
||||||||
TRIPADVISOR INC
|
91,724
|
shares
|
6,848,114
|
||||||||
TSUMURA & CO
|
10,000
|
shares
|
223,279
|
||||||||
TURKCELL ILETISIM HIZMETLERI A
|
215,720
|
shares
|
1,319,558
|
||||||||
TURKIYE GARANTI BANKASI AS
|
1,907,150
|
shares
|
7,684,891
|
||||||||
TWENTY-FIRST CENTURY FOX INC
|
654,532
|
shares
|
25,137,301
|
||||||||
TWITTER INC
|
244,063
|
shares
|
8,754,540
|
||||||||
TYCO INTERNATIONAL PLC
|
137,500
|
shares
|
6,030,750
|
||||||||
TYSON FOODS INC
|
110,542
|
shares
|
4,431,629
|
||||||||
UCB S A NPV
|
35,412
|
shares
|
2,708,138
|
||||||||
UDR INC
|
118,400
|
shares
|
3,649,088
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
UGI CORP
|
100,965
|
shares
|
$ |
3,834,651
|
|||||||
ULTA SALON COSMETICS & FRAGRAN
|
78,502
|
shares
|
10,035,696
|
||||||||
ULTIMATE SOFTWARE GROUP INC/TH
|
77,320
|
shares
|
11,351,736
|
||||||||
UNDER ARMOUR INC
|
150,036
|
shares
|
10,187,444
|
||||||||
UNIBAIL-RODAMCO SE
|
27,742
|
shares
|
7,145,206
|
||||||||
UNICHARM CORP
|
51,200
|
shares
|
1,243,541
|
||||||||
UNICREDIT SPA
|
2,163,134
|
shares
|
13,964,364
|
||||||||
UNILEVER NV
|
40,849
|
shares
|
1,594,745
|
||||||||
UNILEVER NV
|
98,307
|
shares
|
3,882,736
|
||||||||
UNILEVER PLC ADR
|
52,501
|
shares
|
2,125,240
|
||||||||
UNION PACIFIC CORP
|
190,120
|
shares
|
22,648,996
|
||||||||
UNISYS CORP
|
96,125
|
shares
|
2,833,765
|
||||||||
UNITE GROUP PLC/THE
|
128,392
|
shares
|
930,908
|
||||||||
UNITED CONTINENTAL HOLDINGS IN
|
25,777
|
shares
|
1,724,223
|
||||||||
UNITED INTERNET AG
|
49,186
|
shares
|
2,231,014
|
||||||||
UNITED MICROELECTRONICS CORP
|
163,000
|
shares
|
76,079
|
||||||||
UNITED NATURAL FOODS INC
|
109,000
|
shares
|
8,428,425
|
||||||||
UNITED TECHNOLOGIES CORP
|
140,500
|
shares
|
16,157,500
|
||||||||
UNITED THERAPEUTICS CORP
|
39,000
|
shares
|
5,050,110
|
||||||||
UNITED URBAN INVESTMENT CORP
|
1,466
|
shares
|
2,309,749
|
||||||||
UNITEDHEALTH GROUP INC
|
106,022
|
shares
|
10,717,764
|
||||||||
UNIVERSAL HEALTH SERVICES INC
|
40,505
|
shares
|
4,506,586
|
||||||||
UNUM GROUP
|
393,900
|
shares
|
13,739,232
|
||||||||
UOL GROUP LTD
|
152,501
|
shares
|
801,001
|
||||||||
UPM-KYMMENE OYJ
|
15,710
|
shares
|
258,915
|
||||||||
URBAN & CIVIC PLC
|
115,111
|
shares
|
445,127
|
||||||||
US BANCORP/MN
|
235,100
|
shares
|
10,567,745
|
||||||||
USHIO INC
|
40,800
|
shares
|
431,497
|
||||||||
USS CO LTD
|
42,300
|
shares
|
656,577
|
||||||||
UTD MIZRAHI BANK ILS0.01
|
8,784
|
shares
|
92,322
|
||||||||
VALE SA SP PREF ADR
|
331,100
|
shares
|
2,403,786
|
||||||||
VALERO ENERGY CORP
|
191,500
|
shares
|
9,479,250
|
||||||||
VALIDUS HOLDINGS LTD
|
29,630
|
shares
|
1,231,423
|
||||||||
VALLOUREC SA
|
17,227
|
shares
|
474,236
|
||||||||
VANTIV INC
|
205,000
|
shares
|
6,953,600
|
||||||||
VASTNED RETAIL NV
|
3,653
|
shares
|
165,541
|
||||||||
VCA INC
|
105,073
|
shares
|
5,124,410
|
||||||||
VENTAS INC
|
33,837
|
shares
|
2,426,113
|
||||||||
VENTURE CORP LTD
|
80,000
|
shares
|
475,134
|
||||||||
VERIFONE SYSTEMS INC
|
289,430
|
shares
|
10,766,796
|
||||||||
VERIZON COMMUNICATIONS INC
|
84,234
|
shares
|
3,940,466
|
||||||||
VERTEX PHARMACEUTICALS INC
|
76,045
|
shares
|
9,034,146
|
||||||||
VESTAS WIND SYSTEMS A/S
|
47,522
|
shares
|
1,749,134
|
||||||||
VIACOM INC
|
32,700
|
shares
|
2,460,675
|
||||||||
VICTREX PLC
|
17,194
|
shares
|
558,179
|
||||||||
VIRBAC SA
|
5,558
|
shares
|
1,172,247
|
||||||||
VISA INC
|
170,666
|
shares
|
44,748,626
|
||||||||
VISCOFAN SA
|
9,424
|
shares
|
502,496
|
||||||||
VISHAY INTERTECHNOLOGY INC
|
286,495
|
shares
|
4,053,904
|
||||||||
VMWARE INC
|
73,508
|
shares
|
6,065,880
|
||||||||
VOLCANO CORP
|
169,000
|
shares
|
3,021,720
|
||||||||
VOLKSWAGEN AG
|
21,800
|
shares
|
4,750,874
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
VOLVO AB
|
402,941
|
shares
|
$ |
4,359,736
|
|||||||
VORNADO REALTY TRUST
|
110,488
|
shares
|
13,005,543
|
||||||||
VTECH HOLDINGS LTD
|
38,535
|
shares
|
552,569
|
||||||||
VULCAN MATERIALS CO
|
77,300
|
shares
|
5,080,929
|
||||||||
WABCO HOLDINGS INC
|
89,500
|
shares
|
9,377,810
|
||||||||
WADDELL & REED FINANCIAL INC
|
56,355
|
shares
|
2,807,606
|
||||||||
WAGEWORKS INC
|
108,400
|
shares
|
6,999,388
|
||||||||
WALGREENS BOOTS ALLIANCE INC
|
250,671
|
shares
|
19,101,130
|
||||||||
WAL-MART STORES INC
|
230,500
|
shares
|
19,795,340
|
||||||||
WALT DISNEY CO/THE
|
191,218
|
shares
|
18,010,823
|
||||||||
WANT WANT CHINA HOLDINGS LTD
|
517,854
|
shares
|
682,472
|
||||||||
WARTSILA OYJ ABP
|
33,138
|
shares
|
1,487,258
|
||||||||
WATSCO INC
|
68,000
|
shares
|
7,276,000
|
||||||||
WEATHERFORD INTERNATIONAL PLC
|
275,000
|
shares
|
3,148,750
|
||||||||
WELCIA HOLDINGS CO LTD
|
2,400
|
shares
|
71,563
|
||||||||
WELLCARE HEALTH PLANS INC
|
43,585
|
shares
|
3,576,585
|
||||||||
WELLS FARGO & CO
|
966,716
|
shares
|
52,995,371
|
||||||||
WERELDHAVE NV
|
8,957
|
shares
|
617,790
|
||||||||
WESCO INTERNATIONAL INC
|
102,520
|
shares
|
7,813,049
|
||||||||
WEST JAPAN RAILWAY CO
|
4,800
|
shares
|
228,680
|
||||||||
WESTERN ALLIANCE BANCORP
|
199,710
|
shares
|
5,551,938
|
||||||||
WESTERN DIGITAL CORP
|
38,156
|
shares
|
4,223,869
|
||||||||
WESTERN UNION CO/THE
|
1,019,210
|
shares
|
18,254,051
|
||||||||
WESTFIELD CORP
|
544,021
|
shares
|
4,015,700
|
||||||||
WEX INC
|
86,100
|
shares
|
8,517,012
|
||||||||
WEYERHAEUSER CO
|
239,900
|
shares
|
8,610,011
|
||||||||
WHARF HOLDINGS LTD/THE
|
349,900
|
shares
|
2,526,728
|
||||||||
WHITBREAD PLC
|
20,709
|
shares
|
1,540,257
|
||||||||
WHITEWAVE FOODS CO/THE
|
121,500
|
shares
|
4,251,285
|
||||||||
WHITING PETROLEUM CORP
|
60,977
|
shares
|
2,012,241
|
||||||||
WILLIAM DEMANT HOLDING A/S
|
14,304
|
shares
|
1,088,301
|
||||||||
WILLIAM HILL PLC
|
64,102
|
shares
|
362,322
|
||||||||
WILLIAMS COS INC/THE
|
217,490
|
shares
|
9,774,001
|
||||||||
WILLIAMS-SONOMA INC
|
97,400
|
shares
|
7,371,232
|
||||||||
WISTRON CORP
|
631,396
|
shares
|
573,415
|
||||||||
WNS HOLDINGS LTD ADR
|
335,300
|
shares
|
6,927,298
|
||||||||
WOLSELEY PLC
|
2,714
|
shares
|
155,984
|
||||||||
WOOLWORTHS HOLDINGS LTD/SOUTH
|
101,266
|
shares
|
674,888
|
||||||||
WORKDAY INC
|
97,932
|
shares
|
7,992,231
|
||||||||
WORKSPACE GROUP PLC
|
4,823
|
shares
|
57,530
|
||||||||
WORLD ACCEPTANCE CORP
|
25,410
|
shares
|
2,018,824
|
||||||||
WORLEYPARSONS LTD
|
30,827
|
shares
|
254,291
|
||||||||
WP CAREY INC
|
6,711
|
shares
|
470,441
|
||||||||
WPG HOLDINGS LIMITED TWD10
|
76,000
|
shares
|
88,621
|
||||||||
WPX ENERGY INC
|
645,200
|
shares
|
7,503,676
|
||||||||
WUMART STORES INC
|
194,486
|
shares
|
166,526
|
||||||||
WYNDHAM WORLDWIDE CORP
|
54,020
|
shares
|
4,632,755
|
||||||||
WYNN RESORTS LTD
|
2,560
|
shares
|
380,826
|
||||||||
XL AXIATA TBK PT
|
922,613
|
shares
|
362,416
|
||||||||
XL GROUP PLC
|
480,191
|
shares
|
16,504,165
|
||||||||
YAMAHA CORP
|
24,300
|
shares
|
363,806
|
||||||||
YAMANA GOLD INC
|
1,591,900
|
shares
|
6,399,438
|
||||||||
YAMATO HOLDINGS CO LTD
|
80,000
|
shares
|
1,597,731
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Common Stock (continued): | |||||||||||
YAMAZAKI BAKING CO LTD
|
32,000
|
shares
|
$ |
397,147
|
|||||||
YARA INTERNATIONAL ASA
|
42,629
|
shares
|
1,897,895
|
||||||||
YELP INC
|
59,942
|
shares
|
3,280,626
|
||||||||
YOUKU TUDOU INC ADR
|
97,146
|
shares
|
1,730,170
|
||||||||
YUANTA FINANCIAL HOLDING CO LT
|
951,950
|
shares
|
463,896
|
||||||||
YUE YUEN INDUSTRIAL HOLDINGS L
|
67,000
|
shares
|
241,481
|
||||||||
ZALANDO SE
|
34,379
|
shares
|
1,060,808
|
||||||||
ZARDOYA OTIS SA
|
25,845
|
shares
|
287,718
|
||||||||
ZEBRA TECHNOLOGIES CORP
|
148,261
|
shares
|
11,476,884
|
||||||||
ZHEN DING TECHNOLOGY HOLDING L
|
106,000
|
shares
|
285,109
|
||||||||
ZIMMER HOLDINGS INC
|
25,532
|
shares
|
2,895,839
|
||||||||
ZIONS BANCORPORATION
|
282,795
|
shares
|
8,062,485
|
||||||||
ZOOPLA PROPERTY GROUP PLC
|
174,720
|
shares
|
535,329
|
||||||||
OCH-ZIFF CAPITAL MANAGEMENT GR
|
625,000
|
shares
|
7,300,000
|
||||||||
Total Common Stock
|
$
|
6,352,773,905
|
|||||||||
Preferred Stock:
|
|||||||||||
BAYERISCHE MOTOREN WERKE AG
|
14,454
|
shares
|
$
|
1,186,526
|
|||||||
CHESAPEAKE ENERGY CORP 144A
|
4,400
|
shares
|
4,556,750
|
||||||||
CITIGROUP CAPITAL XIII
|
145,300
|
shares
|
3,862,074
|
||||||||
CREDIT SUISSE GROUP AG 144A
|
500,000
|
shares
|
477,500
|
||||||||
FUCHS PETROLUB SE
|
21,731
|
shares
|
875,512
|
||||||||
GRIFOLS SA
|
4,258
|
shares
|
144,525
|
||||||||
HENKEL AG & CO KGAA
|
9,511
|
shares
|
1,029,116
|
||||||||
JPMORGAN CHASE & CO
|
600,000
|
shares
|
598,500
|
||||||||
JPMORGAN CHASE & CO
|
500,000
|
shares
|
489,218
|
||||||||
METRO AG
|
5,978
|
shares
|
152,992
|
||||||||
PORSCHE AUTOMOBIL HOLDING SE
|
28,684
|
shares
|
2,331,061
|
||||||||
SAMSUNG ELECTRONICS CO LTD
|
430
|
shares
|
406,469
|
||||||||
VOLKSWAGEN AG
|
6,421
|
shares
|
1,434,681
|
||||||||
WELLS FARGO & CO
|
100
|
shares
|
121,500
|
||||||||
Total Preferred Stock
|
$
|
17,666,424
|
Corporate Debt: | |||||||||||
1011778 BC / NEW RED FIN 144A
|
721,000
|
principal, 6.000% 04/01/2022 DD 10/08/14
|
$
|
739,026
|
|||||||
1345 AVENUE OF THE A 1 A3 144A
|
400,000
|
principal, 5.278% 08/10/2035 DD 08/08/05
|
469,041
|
||||||||
21ST CENTURY FOX AMERICA INC
|
300,000
|
principal, 5.400% 10/01/2043 DD 09/30/13
|
357,163
|
||||||||
ACADIA HEALTHCARE CO INC
|
147,000
|
principal, 5.125% 07/01/2022 DD 07/01/14
|
144,796
|
||||||||
ACCESS MIDSTREAM PARTNERS LP
|
1,000,000
|
principal, 4.875% 03/15/2024 DD 03/07/14
|
1,015,000
|
||||||||
ACCESS MIDSTREAM PARTNERS LP
|
605,000
|
principal, 4.875% 05/15/2023 DD 12/19/12
|
614,075
|
||||||||
ACTAVIS FUNDING SCS
|
700,000
|
principal, 4.850% 06/15/2044 DD 06/19/14
|
710,315
|
||||||||
ACTIVISION BLIZZARD INC 144A
|
1,444,000
|
principal, 5.625% 09/15/2021 DD 09/19/13
|
1,516,200
|
||||||||
ACTIVISION BLIZZARD INC 144A
|
542,000
|
principal, 6.125% 09/15/2023 DD 09/19/13
|
584,006
|
||||||||
ADT CORP
|
326,000
|
principal, 5.250% 03/15/2020 DD 12/18/14
|
330,076
|
||||||||
ADT CORP/THE
|
418,000
|
principal, 3.500% 07/15/2022 DD 01/15/13
|
356,346
|
||||||||
ADT CORP/THE
|
800,000
|
principal, 4.875% 07/15/2042 DD 01/15/13
|
592,001
|
||||||||
AERCAP IRELAND CAP LTD/A 144A
|
778,000
|
principal, 4.500% 05/15/2021 DD 05/14/14
|
787,726
|
||||||||
AERCAP IRELAND CAP LTD/A 144A
|
316,000
|
principal, 5.000% 10/01/2021 DD 09/29/14
|
327,061
|
||||||||
AES CORP/VA
|
783,000
|
principal, 7.375% 07/01/2021 DD 07/01/12
|
884,791
|
||||||||
AIRCASTLE LTD
|
281,000
|
principal, 5.125% 03/15/2021 DD 03/26/14
|
281,001
|
||||||||
AK STEEL CORP
|
1,060,000
|
principal, 7.625% 05/15/2020 DD 05/11/10
|
985,801
|
||||||||
AK STEEL CORP
|
260,000
|
principal, 8.750% 12/01/2018 DD 06/01/13
|
273,000
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
ALABAMA POWER CO
|
100,000
|
principal, 6.125% 05/15/2038 DD 05/14/08
|
$ |
132,872
|
|||||||
ALBEA BEAUTY HOLDINGS SA 144A
|
950,000
|
principal, 8.375% 11/01/2019 DD 10/31/12
|
997,500
|
||||||||
ALCOA INC
|
559,000
|
principal, 5.125% 10/01/2024 DD 09/22/14
|
592,411
|
||||||||
ALERE INC
|
365,000
|
principal, 6.500% 06/15/2020 DD 05/24/13
|
366,826
|
||||||||
ALERE INC
|
640,000
|
principal, 8.625% 10/01/2018 DD 09/21/10
|
662,401
|
||||||||
ALERIS INTERNATIONAL INC
|
1,500,000
|
principal, 7.875% 11/01/2020 DD 10/23/12
|
1,492,500
|
||||||||
ALLEGHENY ENERGY SUPPLY C 144A
|
300,000
|
principal, 6.750% 10/15/2039 DD 10/01/09
|
318,913
|
||||||||
ALLEGION US HOLDING CO INC
|
336,000
|
principal, 5.750% 10/01/2021 DD 04/01/14
|
355,320
|
||||||||
ALLIANCE DATA SYSTEMS CO 144A
|
982,000
|
principal, 5.375% 08/01/2022 DD 07/29/14
|
969,726
|
||||||||
ALLIANCE DATA SYSTEMS COR 144A
|
1,046,000
|
principal, 6.375% 04/01/2020 DD 03/29/12
|
1,069,536
|
||||||||
ALLISON TRANSMISSION INC 144A
|
948,000
|
principal, 7.125% 05/15/2019 DD 05/06/11
|
991,846
|
||||||||
ALLY FINANCIAL INC
|
247,000
|
principal, 3.500% 01/27/2019 DD 01/27/14
|
244,036
|
||||||||
ALLY FINANCIAL INC
|
621,000
|
principal, 4.750% 09/10/2018 DD 09/09/13
|
642,736
|
||||||||
ALLY FINANCIAL INC
|
289,000
|
principal, 5.125% 09/30/2024 DD 09/29/14
|
293,336
|
||||||||
ALLY FINANCIAL INC
|
2,349,000
|
principal, 8.000% 03/15/2020 DD 09/15/10
|
2,771,820
|
||||||||
ALLY FINANCIAL INC
|
1,900,000
|
principal, 8.300% 02/12/2015 DD 08/12/10
|
1,909,500
|
||||||||
ALLY MASTER OWNER TRUST 5 A1
|
1,858,000
|
principal, VAR RT 10/15/2019 DD 11/12/14
|
1,858,000
|
||||||||
ALPHA NATURAL RESOURCES 144A
|
360,000
|
principal, 7.500% 08/01/2020 DD 05/20/14
|
226,800
|
||||||||
ALPHA NATURAL RESOURCES INC
|
670,000
|
principal, 6.250% 06/01/2021 DD 06/01/11
|
187,600
|
||||||||
ALTERNATIVE LOAN TRUST 2 81 A1
|
46,845
|
principal, VAR RT 02/25/2037 DD 12/29/05
|
36,663
|
||||||||
ALTICE SA 144A
|
638,000
|
principal, 7.750% 05/15/2022 DD 05/08/14
|
639,196
|
||||||||
ALTRIA GROUP INC
|
290,000
|
principal, 10.200% 02/06/2039 DD 02/06/09
|
504,931
|
||||||||
ALTRIA GROUP INC
|
65,000
|
principal, 9.950% 11/10/2038 DD 11/10/08
|
111,192
|
||||||||
AMAZON.COM INC
|
700,000
|
principal, 4.950% 12/05/2044 DD 12/05/14
|
723,104
|
||||||||
AMC NETWORKS INC
|
1,473,000
|
principal, 4.750% 12/15/2022 DD 12/17/12
|
1,428,811
|
||||||||
AMC NETWORKS INC
|
248,000
|
principal, 7.750% 07/15/2021 DD 01/15/12
|
265,361
|
||||||||
AMERICA MOVIL SAB DE CV
|
100,000
|
principal, 6.125% 03/30/2040 DD 03/30/10
|
118,322
|
||||||||
AMERICA MOVIL SAB DE CV
|
200,000
|
principal, 6.125% 11/15/2037 DD 10/30/07
|
240,231
|
||||||||
AMERICA MOVIL SAB DE CV
|
800,000
|
principal, VAR RT 09/12/2016 DD 09/12/13
|
805,722
|
||||||||
AMERICAN AXLE & MANUFACTURING
|
279,000
|
principal, 5.125% 02/15/2019 DD 11/12/13
|
284,580
|
||||||||
AMERICAN AXLE & MANUFACTURING
|
292,000
|
principal, 6.625% 10/15/2022 DD 09/17/12
|
309,521
|
||||||||
AMERICAN BUILDERS & CONTR 144A
|
568,000
|
principal, 5.625% 04/15/2021 DD 04/16/13
|
570,840
|
||||||||
AMERICAN EXPRESS CO
|
810,000
|
principal, 4.050% 12/03/2042 DD 12/03/12
|
817,355
|
||||||||
AMERICAN EXPRESS CREDIT AC 2 A
|
1,464,000
|
principal, VAR RT 05/17/2021 DD 11/13/13
|
1,467,253
|
||||||||
AMERICAN EXPRESS CREDIT AC 4 A
|
4,010,000
|
principal, 1.430% 06/15/2020 DD 11/19/14
|
4,006,969
|
||||||||
AMERICAN EXPRESS ISSUANCE 2 A
|
1,201,000
|
principal, VAR RT 08/15/2019 DD 09/24/13
|
1,205,086
|
||||||||
AMERICAN HONDA FINANCE CO 144A
|
2,000,000
|
principal, 1.500% 09/11/2017 DD 09/11/12
|
2,001,775
|
||||||||
AMERICAN INTERNATIONAL GROUP I
|
700,000
|
principal, 6.250% 05/01/2036 DD 04/20/06
|
907,132
|
||||||||
AMERICAN INTERNATIONAL GROUP I
|
2,250,000
|
principal, VAR RT 03/15/2067
|
3,632,451
|
||||||||
AMERICAN INTL GROUP
|
100,000
|
principal, 4.500% 07/16/2044 DD 07/16/14
|
105,651
|
||||||||
AMERIGAS FINANCE LLC / AMERIGA
|
1,175,000
|
principal, 7.000% 05/20/2022 DD 01/12/12
|
1,216,125
|
||||||||
AMGEN INC
|
2,000,000
|
principal, 5.150% 11/15/2041 DD 11/10/11
|
2,254,300
|
||||||||
AMGEN INC
|
800,000
|
principal, 5.650% 06/15/2042 DD 06/30/11
|
951,839
|
||||||||
AMGEN INC
|
100,000
|
principal, 6.375% 06/01/2037 DD 12/01/07
|
125,865
|
||||||||
AMGEN INC
|
100,000
|
principal, 6.900% 06/01/2038 DD 05/23/08
|
132,475
|
||||||||
AMSTED INDUSTRIES 144A
|
1,313,000
|
principal, 5.000% 03/15/2022 DD 03/17/14
|
1,290,022
|
||||||||
AMSTED INDUSTRIES 144A
|
450,000
|
principal, 5.000% 03/15/2022 DD 03/17/14
|
437,625
|
||||||||
AMSTED INDUSTRIES 144A
|
389,000
|
principal, 5.375% 09/15/2024 DD 09/09/14
|
378,302
|
||||||||
AMSURG CORP 144A
|
551,000
|
principal, 5.625% 07/15/2022 DD 07/16/14
|
564,775
|
||||||||
ANADARKO FINANCE CO
|
100,000
|
principal, 7.500% 05/01/2031 DD 04/26/01
|
131,508
|
||||||||
ANADARKO PETROLEUM CORP
|
1,200,000
|
principal, 6.450% 09/15/2036 DD 09/19/06
|
1,442,033
|
||||||||
ANCESTRY.COM INC
|
259,000
|
principal, 11.000% 12/15/2020 DD 06/15/13
|
291,699
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
ANHEUSER-BUSCH INBEV FINANCE I
|
6,000,000
|
principal, 1.250% 01/17/2018 DD 01/17/13
|
$ |
5,935,428
|
|||||||
ANHEUSER-BUSCH INBEV FINANCE I
|
900,000
|
principal, 4.625% 02/01/2044 DD 01/27/14
|
978,905
|
||||||||
ANHEUSER-BUSCH INBEV WORLDWIDE
|
100,000
|
principal, 6.375% 01/15/2040 DD 10/16/09
|
130,043
|
||||||||
ANTERO RESOURCES FINANCE 144A
|
956,000
|
principal, 5.125% 12/01/2022 DD 05/06/14
|
901,030
|
||||||||
APPALACHIAN POWER CO
|
240,000
|
principal, 6.700% 08/15/2037 DD 08/17/07
|
320,821
|
||||||||
APPALACHIAN POWER CO
|
500,000
|
principal, 7.000% 04/01/2038 DD 03/25/08
|
695,649
|
||||||||
APPLIED SYSTEMS 1/14 COV-LITE
|
69,000
|
principal, 2ND LIEN TL LIBOR + 650 bps 1/23/22
|
67,160
|
||||||||
APPLIED SYSTEMS 1/14 COV-LITE
|
58,410
|
principal, TL LIBOR + 325 bps 1/23/21
|
57,352
|
||||||||
APX GROUP INC
|
1,221,000
|
principal, 6.375% 12/01/2019 DD 06/01/13
|
1,169,107
|
||||||||
APX GROUP INC
|
405,000
|
principal, 8.750% 12/01/2020 DD 06/01/13
|
341,972
|
||||||||
ARAMARK CORP
|
2,097,000
|
principal, 5.750% 03/15/2020 DD 09/15/13
|
2,165,152
|
||||||||
ARCELORMITTAL
|
1,910,000
|
principal, STEP 02/25/2022 DD 02/28/12
|
2,038,924
|
||||||||
ARCELORMITTAL
|
2,130,000
|
principal, VAR RT 10/15/2039 DD 10/08/09
|
2,204,550
|
||||||||
ARCH COAL INC
|
775,000
|
principal, 7.250% 06/15/2021 DD 12/15/11
|
225,719
|
||||||||
ARCH COAL INC 144A
|
600,000
|
principal, 8.000% 01/15/2019 DD 12/17/13
|
333,000
|
||||||||
ARDAGH PACKAGING FINANCE 144A
|
612,000
|
principal, 6.750% 01/31/2021 DD 02/05/14
|
608,940
|
||||||||
ARDAGH PACKAGING FINANCE 144A
|
88,235
|
principal, 7.000% 11/15/2020 DD 01/24/13
|
89,118
|
||||||||
ASBURY AUTOMOTIVE GROUP 144A
|
300,000
|
principal, 6.000% 12/15/2024 DD 12/04/14
|
305,250
|
||||||||
ASHLAND INC
|
575,000
|
principal, VAR RT 08/15/2022 DD 08/15/13
|
575,000
|
||||||||
ASHTEAD CAPITAL INC 144A
|
237,000
|
principal, 6.500% 07/15/2022 DD 07/16/12
|
251,812
|
||||||||
AT&T CORP
|
1,975,000
|
principal, VAR RT 11/15/2031 DD 05/15/02
|
2,910,200
|
||||||||
AT&T INC
|
730,000
|
principal, 4.350% 06/15/2045 DD 06/15/13
|
688,210
|
||||||||
AT&T INC
|
700,000
|
principal, 4.800% 06/15/2044 DD 06/10/14
|
713,269
|
||||||||
AT&T INC
|
100,000
|
principal, 5.350% 09/01/2040 DD 03/01/11
|
108,282
|
||||||||
AT&T INC
|
1,100,000
|
principal, 5.550% 08/15/2041 DD 08/18/11
|
1,225,730
|
||||||||
AT&T INC
|
5,000,000
|
principal, 5.600% 05/15/2018 DD 05/13/08
|
5,572,020
|
||||||||
AT&T INC
|
690,000
|
principal, 6.500% 09/01/2037 DD 08/31/07
|
852,459
|
||||||||
AT&T INC
|
525,000
|
principal, 6.550% 02/15/2039 DD 02/03/09
|
647,102
|
||||||||
ATLAS PIPELINE PARTNERS LP / A
|
125,000
|
principal, 4.750% 11/15/2021 DD 11/15/13
|
118,750
|
||||||||
ATLAS PIPELINE PARTNERS LP / A
|
900,000
|
principal, 6.625% 10/01/2020 DD 10/01/13
|
915,750
|
||||||||
AUDATEX NORTH AMERICA INC 144A
|
587,000
|
principal, 6.000% 06/15/2021 DD 07/02/13
|
604,610
|
||||||||
AVIATION CAPITAL GROUP CO 144A
|
29,000
|
principal, 6.750% 04/06/2021 DD 04/06/11
|
32,842
|
||||||||
AVIS BUDGET CAR RENTAL LLC / A
|
1,500,000
|
principal, 5.500% 04/01/2023 DD 04/03/13
|
1,530,000
|
||||||||
AVIS BUDGET RENTAL C 3A A 144A
|
1,871,000
|
principal, 2.100% 03/20/2019 DD 07/31/12
|
1,871,589
|
||||||||
AXALTA COATING SYSTEMS 144A
|
1,748,000
|
principal, 7.375% 05/01/2021 DD 02/01/13
|
1,852,880
|
||||||||
B&G FOODS INC
|
659,000
|
principal, 4.625% 06/01/2021 DD 06/04/13
|
643,250
|
||||||||
BAC CAPITAL TRUST XI
|
3,205,000
|
principal, 6.625% 05/23/2036 DD 05/23/06
|
3,905,366
|
||||||||
BALL CORP
|
870,000
|
principal, 4.000% 11/15/2023 DD 05/16/13
|
839,550
|
||||||||
BANCO DO BRASIL SA/CAYMAN 144A
|
100,000
|
principal, 6.000% 01/22/2020 DD 01/22/10
|
106,250
|
||||||||
BANCO SANTANDER BRASIL SA 144A
|
2,200,000
|
principal, 4.500% 04/06/2015 DD 04/06/10
|
2,213,332
|
||||||||
BANCO SANTANDER CHILE 144A
|
1,500,000
|
principal, VAR RT 01/19/2016 DD 01/19/11
|
1,503,750
|
||||||||
BANCO SANTANDER MEXICO SA 144A
|
600,000
|
principal, 4.125% 11/09/2022 DD 11/09/12
|
594,120
|
||||||||
BANCO VOTORANTIM SA 144A
|
300,000
|
principal, 5.250% 02/11/2016 DD 02/11/11
|
305,700
|
||||||||
BANK OF AMERICA CORP
|
550,000
|
principal, 4.200% 08/26/2024 DD 08/26/14
|
560,299
|
||||||||
BANK OF AMERICA CORP
|
525,000
|
principal, 4.250% 10/22/2026 DD 10/22/14
|
523,821
|
||||||||
BANK OF AMERICA CORP
|
1,000,000
|
principal, 4.875% 04/01/2044 DD 04/01/14
|
1,104,786
|
||||||||
BANK OF AMERICA CORP
|
400,000
|
principal, 5.625% 07/01/2020 DD 06/22/10
|
455,436
|
||||||||
BANK OF AMERICA CORP
|
2,300,000
|
principal, 5.650% 05/01/2018 DD 05/02/08
|
2,555,238
|
||||||||
BANK OF AMERICA CORP
|
8,100,000
|
principal, 5.750% 12/01/2017 DD 12/04/07
|
8,949,666
|
||||||||
BANK OF AMERICA CORP
|
2,270,000
|
principal, 7.625% 06/01/2019 DD 06/02/09
|
2,743,549
|
||||||||
BANK OF AMERICA CREDIT A3 A
|
1,957,000
|
principal, VAR RT 01/15/2020 DD 09/15/14
|
1,956,648
|
||||||||
BANK OF AMERICA NA
|
40,000
|
principal, 6.000% 10/15/2036 DD 10/26/06
|
50,102
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
BANK OF AMERICA NA
|
200,000
|
principal, VAR RT 06/15/2016 DD 06/26/06
|
$ |
198,649
|
|||||||
BANK OF AMERICA NA
|
4,100,000
|
principal, VAR RT 06/15/2017 DD 06/19/07
|
4,040,931
|
||||||||
BANK OF NEW YORK MELLON
|
4,300,000
|
principal, 2.300% 09/11/2019 DD 09/11/14
|
4,321,285
|
||||||||
BANK ONE CAPITAL III
|
160,000
|
principal, 8.750% 09/01/2030 DD 08/30/00
|
231,100
|
||||||||
BARCLAYS BANK PLC 144A
|
80,000
|
principal, 10.179% 06/12/2021 DD 06/12/09
|
107,407
|
||||||||
BARCLAYS PLC
|
2,250,000
|
principal, 4.375% 09/11/2024 DD 09/11/14
|
2,172,482
|
||||||||
BARRICK GOLD CORP
|
1,100,000
|
principal, 5.250% 04/01/2042 DD 04/03/12
|
1,016,784
|
||||||||
BARRICK GOLD CORP
|
10,000
|
principal, 5.800% 11/15/2034 DD 11/12/04
|
9,187
|
||||||||
BARRICK PD AUSTRALIA FINANCE P
|
100,000
|
principal, 5.950% 10/15/2039 DD 10/16/09
|
95,802
|
||||||||
BASIC ENERGY SERVICES INC
|
1,316,000
|
principal, 7.750% 02/15/2019 DD 08/15/11
|
1,013,320
|
||||||||
BEAZER HOMES USA
|
435,000
|
principal, 7.500% 09/15/2021 DD 09/30/13
|
437,175
|
||||||||
BEAZER HOMES USA INC
|
110,000
|
principal, 5.750% 06/15/2019 DD 04/08/14
|
105,600
|
||||||||
BECTON DICKINSON AND CO
|
3,875,000
|
principal, 2.675% 12/15/2019 DD 12/15/14
|
3,925,960
|
||||||||
BECTON DICKINSON AND CO
|
1,050,000
|
principal, 3.734% 12/15/2024 DD 12/15/14
|
1,081,054
|
||||||||
BECTON DICKINSON AND CO
|
700,000
|
principal, 4.685% 12/15/2044 DD 12/15/14
|
753,873
|
||||||||
BERRY PETROLEUM CO
|
1,250,000
|
principal, 6.375% 09/15/2022 DD 03/09/12
|
950,000
|
||||||||
BERRY PLASTICS CORP
|
568,000
|
principal, 5.500% 05/15/2022 DD 05/12/14
|
576,520
|
||||||||
BG ENERGY CAPITAL PLC 144A
|
1,200,000
|
principal, 5.125% 10/15/2041 DD 10/12/11
|
1,316,832
|
||||||||
BIOMET INC
|
149,000
|
principal, 6.500% 08/01/2020 DD 02/01/13
|
159,430
|
||||||||
BLACKROCK INC
|
5,185,000
|
principal, 1.375% 06/01/2015 DD 05/25/12
|
5,208,778
|
||||||||
BLUE RACER MID LLC/FINAN 144A
|
617,000
|
principal, 6.125% 11/15/2022 DD 11/13/14
|
595,405
|
||||||||
BNP PARIBAS
|
2,975,000
|
principal, 4.250% 10/15/2024 DD 10/14/14
|
3,005,622
|
||||||||
BNSF RAILWAY CO 2007-1 PASS TH
|
757,738
|
principal, 5.996% 04/01/2024 DD 06/18/07
|
863,645
|
||||||||
BOMBARDIER INC 144A
|
265,000
|
principal, 4.750% 04/15/2019 DD 04/03/14
|
265,994
|
||||||||
BOMBARDIER INC 144A
|
1,200,000
|
principal, 5.750% 03/15/2022 DD 03/08/12
|
1,215,000
|
||||||||
BOMBARDIER INC 144A
|
424,000
|
principal, 6.000% 10/15/2022 DD 04/03/14
|
428,240
|
||||||||
BOMBARDIER INC 144A
|
1,111,000
|
principal, 6.125% 01/15/2023 DD 01/14/13
|
1,133,220
|
||||||||
BOMBARDIER INC 144A
|
174,000
|
principal, 7.750% 03/15/2020 DD 03/29/10
|
188,790
|
||||||||
BOSTON PROPERTIES LP
|
750,000
|
principal, 3.125% 09/01/2023 DD 04/11/13
|
732,326
|
||||||||
BOSTON PROPERTIES LP
|
525,000
|
principal, 3.800% 02/01/2024 DD 06/27/13
|
539,526
|
||||||||
BOSTON PROPERTIES LP
|
675,000
|
principal, 3.850% 02/01/2023 DD 06/11/12
|
700,702
|
||||||||
BOSTON PROPERTIES LP
|
1,900,000
|
principal, 4.125% 05/15/2021 DD 11/18/10
|
2,022,404
|
||||||||
BOSTON PROPERTIES LP
|
200,000
|
principal, 5.875% 10/15/2019 DD 10/09/09
|
229,085
|
||||||||
BOSTON SCIENTIFIC CORP
|
250,000
|
principal, 6.000% 01/15/2020 DD 12/14/09
|
281,745
|
||||||||
BOSTON SCIENTIFIC CORP
|
1,250,000
|
principal, 6.400% 06/15/2016 DD 06/09/06
|
1,337,482
|
||||||||
BOSTON SCIENTIFIC CORP
|
400,000
|
principal, 7.375% 01/15/2040 DD 12/14/09
|
536,502
|
||||||||
BPCE SA 144A
|
300,000
|
principal, 4.500% 03/15/2025 DD 09/15/14
|
293,138
|
||||||||
BPCE SA 144A
|
400,000
|
principal, 4.625% 07/11/2024 DD 07/11/14
|
388,342
|
||||||||
BRIGGS & STRATTON CORP
|
950,000
|
principal, 6.875% 12/15/2020 DD 12/20/10
|
1,021,250
|
||||||||
BRISTOW GROUP INC
|
1,250,000
|
principal, 6.250% 10/15/2022 DD 10/12/12
|
1,243,750
|
||||||||
BROOKFIELD RESIDENTIAL PR 144A
|
171,000
|
principal, 6.125% 07/01/2022 DD 06/25/13
|
177,840
|
||||||||
BROOKFIELD RESIDENTIAL PR 144A
|
345,000
|
principal, 6.500% 12/15/2020 DD 12/14/12
|
360,525
|
||||||||
BUILDING MATERIALS CORP 144A
|
465,000
|
principal, 5.375% 11/15/2024 DD 11/10/14
|
463,837
|
||||||||
BUILDING MATERIALS CORP O 144A
|
1,600,000
|
principal, 6.750% 05/01/2021 DD 04/29/11
|
1,692,000
|
||||||||
BURLINGTON NORTHERN AND SANTA
|
187,232
|
principal, 7.570% 01/02/2021 DD 09/29/99
|
210,999
|
||||||||
BURLINGTON NORTHERN AND SANTA
|
53,660
|
principal, 8.251% 01/15/2021 DD 06/29/00
|
62,443
|
||||||||
BURLINGTON NORTHERN SANTA FE L
|
1,400,000
|
principal, 4.100% 06/01/2021 DD 05/19/11
|
1,518,467
|
||||||||
BURLINGTON NORTHERN SANTA FE L
|
1,000,000
|
principal, 4.400% 03/15/2042 DD 03/02/12
|
1,049,094
|
||||||||
BURLINGTON NORTHERN SANTA FE L
|
1,965,000
|
principal, 4.700% 10/01/2019 DD 09/24/09
|
2,172,164
|
||||||||
BURLINGTON NORTHERN SANTA FE L
|
1,500,000
|
principal, 5.050% 03/01/2041 DD 09/10/10
|
1,689,406
|
||||||||
BURLINGTON NORTHERN SANTA FE L
|
5,530,000
|
principal, 5.750% 03/15/2018 DD 03/14/08
|
6,198,356
|
||||||||
CAESARS OPER ESCROW LLC
|
300,000
|
principal, 9.000% 02/15/2020 DD 02/15/13
|
222,000
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
CAESARS OPER ESCROW LLC
|
710,000
|
principal, 9.000% 02/15/2020 DD 02/15/13
|
$ |
521,850
|
|||||||
CALIFORNIA REPUBLIC AUTO 1 A4
|
690,000
|
principal, 1.480% 08/15/2019 DD 03/27/14
|
688,295
|
||||||||
CALIFORNIA REPUBLIC AUTO 2 A2
|
994,430
|
principal, 1.230% 03/15/2019 DD 11/21/13
|
998,066
|
||||||||
CALIFORNIA REPUBLIC AUTO 2 A3
|
692,000
|
principal, 0.910% 08/15/2018 DD 06/12/14
|
690,758
|
||||||||
CALIFORNIA REPUBLIC AUTO 2 A4
|
761,000
|
principal, 1.570% 12/16/2019 DD 06/12/14
|
758,805
|
||||||||
CALIFORNIA REPUBLIC AUTO 3 A4
|
685,000
|
principal, 1.790% 03/16/2020 DD 09/11/14
|
685,839
|
||||||||
CALIFORNIA RESOURCES CRP 144A
|
950,000
|
principal, 6.000% 11/15/2024 DD 10/01/14
|
802,750
|
||||||||
CALPINE CORP
|
1,675,000
|
principal, 5.750% 01/15/2025 DD 07/22/14
|
1,695,937
|
||||||||
CALPINE CORP 144A
|
1,253,000
|
principal, 6.000% 01/15/2022 DD 10/31/13
|
1,334,445
|
||||||||
CAMERON INTERNATIONAL CORP
|
300,000
|
principal, 5.950% 06/01/2041 DD 06/02/11
|
331,839
|
||||||||
CANADIAN NATURAL RESOURCES LTD
|
100,000
|
principal, 6.250% 03/15/2038 DD 03/19/07
|
111,219
|
||||||||
CAPITAL AUTO RECEIVABLES 1 A3
|
1,043,000
|
principal, 0.790% 06/20/2017 DD 01/24/13
|
1,043,893
|
||||||||
CAPITAL AUTO RECEIVABLES 1 A3
|
1,659,000
|
principal, 1.320% 06/20/2018 DD 01/22/14
|
1,665,349
|
||||||||
CAPITAL AUTO RECEIVABLES 2 A4
|
671,000
|
principal, 1.620% 10/22/2018 DD 04/23/14
|
673,783
|
||||||||
CAPITAL AUTO RECEIVABLES 3 A4
|
687,000
|
principal, 1.830% 04/22/2019 DD 09/03/14
|
688,184
|
||||||||
CAPITAL ONE FINANCIAL CO
|
4,300,000
|
principal, 2.450% 04/24/2019 DD 04/24/14
|
4,290,149
|
||||||||
CAPITAL ONE FINANCIAL CORP
|
3,202,000
|
principal, 3.500% 06/15/2023 DD 06/06/13
|
3,236,111
|
||||||||
CAPITAL ONE FINANCIAL CORP
|
600,000
|
principal, 4.750% 07/15/2021 DD 07/19/11
|
661,283
|
||||||||
CAPITAL ONE MULTI-ASSET E A5 A
|
617,000
|
principal, 1.480% 07/15/2020 DD 10/14/14
|
617,139
|
||||||||
CAPSUGEL SA 144A
|
175,000
|
principal, 7.000% 05/15/2019 DD 11/14/13
|
176,750
|
||||||||
CARLYLE HOLDINGS II FINAN 144A
|
600,000
|
principal, 5.625% 03/30/2043 DD 03/28/13
|
693,947
|
||||||||
CASE NEW HOLLAND INC
|
662,000
|
principal, 7.875% 12/01/2017 DD 06/01/11
|
728,200
|
||||||||
CATAMARAN CORP
|
148,000
|
principal, 4.750% 03/15/2021 DD 03/12/14
|
148,000
|
||||||||
CATERPILLAR INC
|
3,100,000
|
principal, 1.500% 06/26/2017 DD 06/26/12
|
3,119,118
|
||||||||
CBRE SERVICES INC
|
1,014,000
|
principal, 5.250% 03/15/2025 DD 09/26/14
|
1,034,280
|
||||||||
CBS CORP
|
400,000
|
principal, 4.850% 07/01/2042 DD 06/20/12
|
405,402
|
||||||||
CBS CORP
|
1,200,000
|
principal, 4.900% 08/15/2044 DD 08/19/14
|
1,218,556
|
||||||||
CBS OUT AMER CAP LLC/COR 144A
|
593,000
|
principal, 5.875% 03/15/2025 DD 10/01/14
|
597,447
|
||||||||
CBS OUTDOOR AMERICAS CAPI 144A
|
623,000
|
principal, 5.250% 02/15/2022 DD 01/31/14
|
627,672
|
||||||||
CBS OUTDOOR AMERICAS CAPI 144A
|
103,000
|
principal, 5.625% 02/15/2024 DD 01/31/14
|
103,515
|
||||||||
CCO HOLDINGS LLC / CCO HOLDING
|
1,102,000
|
principal, 5.250% 03/15/2021 DD 09/15/13
|
1,110,265
|
||||||||
CCO HOLDINGS LLC / CCO HOLDING
|
889,000
|
principal, 5.250% 09/30/2022 DD 08/22/12
|
886,777
|
||||||||
CCO HOLDINGS LLC / CCO HOLDING
|
1,300,000
|
principal, 5.750% 09/01/2023 DD 03/01/14
|
1,316,250
|
||||||||
CCO HOLDINGS LLC / CCO HOLDING
|
217,000
|
principal, 6.500% 04/30/2021 DD 05/10/11
|
227,850
|
||||||||
CCOH SAFARI LLC
|
1,165,000
|
principal, 5.500% 12/01/2022 DD 11/05/14
|
1,182,475
|
||||||||
CCOH SAFARI LLC
|
1,528,000
|
principal, 5.750% 12/01/2024 DD 11/05/14
|
1,545,190
|
||||||||
CEDAR FAIR LP / CANADA'S WONDE
|
956,000
|
principal, 5.250% 03/15/2021 DD 09/15/13
|
960,780
|
||||||||
CELANESE US HOLDINGS LLC
|
317,000
|
principal, 4.625% 11/15/2022 DD 11/13/12
|
313,830
|
||||||||
CELANESE US HOLDINGS LLC
|
300,000
|
principal, 5.875% 06/15/2021 DD 05/06/11
|
318,000
|
||||||||
CEMEX FINANCE LLC 144A
|
1,025,000
|
principal, 6.000% 04/01/2024 DD 04/01/14
|
999,375
|
||||||||
CEMEX SAB DE CV 144A
|
1,825,000
|
principal, 6.500% 12/10/2019 DD 08/12/13
|
1,869,712
|
||||||||
CEMEX SAB DE CV 144A
|
975,000
|
principal, 7.250% 01/15/2021 DD 10/02/13
|
1,021,312
|
||||||||
CENOVUS ENERGY INC
|
100,000
|
principal, 6.750% 11/15/2039 DD 05/15/10
|
113,920
|
||||||||
CENTENE CORP
|
257,000
|
principal, 4.750% 05/15/2022 DD 04/29/14
|
257,642
|
||||||||
CENTERPOINT ENERGY RESOURCES C
|
300,000
|
principal, 5.850% 01/15/2041 DD 07/15/11
|
383,882
|
||||||||
CENTURYLINK INC
|
1,240,000
|
principal, 5.625% 04/01/2020 DD 03/21/13
|
1,286,500
|
||||||||
CENTURYLINK INC
|
230,000
|
principal, 5.800% 03/15/2022 DD 03/12/12
|
238,625
|
||||||||
CENTURYLINK INC
|
1,802,000
|
principal, 6.750% 12/01/2023 DD 11/27/13
|
1,973,190
|
||||||||
CEQUEL COMMUNICATIONS HOL 144A
|
890,000
|
principal, 6.375% 09/15/2020 DD 10/25/12
|
921,150
|
||||||||
CFCRE COMMERCIAL MORTGAG C2 A1
|
110,258
|
principal, 1.558% 12/15/2047 DD 12/01/11
|
110,455
|
||||||||
CHASE ISSUANCE TRUST A3 A3
|
4,000,000
|
principal, 0.790% 06/15/2017 DD 06/18/12
|
4,005,304
|
||||||||
CHASE ISSUANCE TRUST A5 A
|
1,080,000
|
principal, 0.470% 05/15/2017 DD 05/23/13
|
1,079,851
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
CHASE ISSUANCE TRUST A5 A5
|
120,000
|
principal, 0.590% 08/15/2017 DD 09/13/12
|
$ |
120,038
|
|||||||
CHASE ISSUANCE TRUST A8 A8
|
4,790,000
|
principal, 0.540% 10/16/2017 DD 11/21/12
|
4,787,634
|
||||||||
CHASE ISSUANCE TRUST A8 A8
|
2,050,000
|
principal, 1.010% 10/15/2018 DD 10/31/13
|
2,049,961
|
||||||||
CHASE ISSUANCE TRUST A9 A
|
663,000
|
principal, VAR RT 11/16/2020 DD 12/13/13
|
664,289
|
||||||||
CHC HELICOPTER SA
|
1,260,000
|
principal, 9.250% 10/15/2020 DD 04/15/12
|
1,225,350
|
||||||||
CHESAPEAKE ENERGY CORP
|
2,736,000
|
principal, 5.750% 03/15/2023 DD 04/01/13
|
2,818,080
|
||||||||
CHESAPEAKE ENERGY CORP
|
2,895,000
|
principal, 6.625% 08/15/2020 DD 08/17/10
|
3,075,937
|
||||||||
CHEVRON CORP
|
4,300,000
|
principal, 1.718% 06/24/2018 DD 06/24/13
|
4,321,736
|
||||||||
CHOICE HOTELS INTERNATIONAL IN
|
696,000
|
principal, 5.750% 07/01/2022 DD 06/27/12
|
746,460
|
||||||||
CHRYSLER CAPITAL AU BA A3 144A
|
2,474,000
|
principal, 1.270% 05/15/2019 DD 09/25/14
|
2,476,600
|
||||||||
CHRYSLER GROUP LLC / CG CO-ISS
|
389,000
|
principal, 8.000% 06/15/2019 DD 12/15/11
|
408,936
|
||||||||
CHRYSLER GROUP LLC / CG CO-ISS
|
1,115,000
|
principal, 8.250% 06/15/2021 DD 12/15/11
|
1,234,862
|
||||||||
CHS/COMMUNITY HEALTH SYS
|
1,304,000
|
principal, 6.875% 02/01/2022 DD 08/01/14
|
1,381,425
|
||||||||
CHS/COMMUNITY HEALTH SYSTEMS I
|
546,000
|
principal, 5.125% 08/01/2021 DD 08/01/14
|
566,475
|
||||||||
CHS/COMMUNITY HEALTH SYSTEMS I
|
437,000
|
principal, 5.125% 08/15/2018 DD 08/17/12
|
452,295
|
||||||||
CHS/COMMUNITY HEALTH SYSTEMS I
|
1,275,000
|
principal, 8.000% 11/15/2019 DD 05/15/12
|
1,361,062
|
||||||||
CHUBB CORP/THE
|
100,000
|
principal, 6.500% 05/15/2038 DD 05/06/08
|
137,703
|
||||||||
CIE GENERALE DE GEOPHYSIQUE -
|
1,325,000
|
principal, 6.500% 06/01/2021 DD 05/31/11
|
1,007,000
|
||||||||
CIGNA CORP
|
5,400,000
|
principal, 2.750% 11/15/2016 DD 11/10/11
|
5,545,093
|
||||||||
CIGNA CORP
|
1,885,000
|
principal, 5.125% 06/15/2020 DD 05/17/10
|
2,100,682
|
||||||||
CIGNA CORP
|
1,475,000
|
principal, 6.150% 11/15/2036 DD 11/10/06
|
1,838,431
|
||||||||
CIGNA CORP
|
700,000
|
principal, 8.500% 05/01/2019 DD 05/07/09
|
865,308
|
||||||||
CIMAREX ENERGY CO
|
110,000
|
principal, 4.375% 06/01/2024 DD 06/04/14
|
105,050
|
||||||||
CIMAREX ENERGY CO
|
771,000
|
principal, 5.875% 05/01/2022 DD 04/05/12
|
801,840
|
||||||||
CINEMARK USA INC
|
79,000
|
principal, 4.875% 06/01/2023 DD 05/24/13
|
74,655
|
||||||||
CINEMARK USA INC
|
157,000
|
principal, 5.125% 12/15/2022 DD 12/18/12
|
153,467
|
||||||||
CIT GROUP INC
|
1,300,000
|
principal, 5.375% 05/15/2020 DD 05/04/12
|
1,373,970
|
||||||||
CIT GROUP INC 144A
|
1,967,000
|
principal, 5.500% 02/15/2019 DD 02/07/12
|
2,075,185
|
||||||||
CITGO PETROLEUM CORP 144A
|
1,075,000
|
principal, 6.250% 08/15/2022 DD 07/29/14
|
1,091,125
|
||||||||
CITIBANK CREDIT CARD ISS A7 A7
|
2,168,000
|
principal, VAR RT 09/10/2020 DD 09/23/13
|
2,167,519
|
||||||||
CITIGROUP INC
|
8,175,000
|
principal, 6.125% 11/21/2017 DD 11/21/07
|
9,115,812
|
||||||||
CITIGROUP INC
|
2,300,000
|
principal, 8.125% 07/15/2039 DD 07/23/09
|
3,521,148
|
||||||||
CITIGROUP INC
|
850,000
|
principal, VAR RT 05/15/2018 DD 05/13/08
|
878,069
|
||||||||
CLEAN HARBORS INC
|
830,000
|
principal, 5.250% 08/01/2020 DD 07/30/12
|
834,150
|
||||||||
CLEAR CHANNEL COMMUNICATIONS I
|
327,050
|
principal, 14.000% 02/01/2021 DD 02/01/14
|
266,546
|
||||||||
CLEAR CHANNEL COMMUNICATIONS I
|
2,985,000
|
principal, 9.000% 03/01/2021 DD 02/23/11
|
2,925,300
|
||||||||
CLEAR CHANNEL WORLDWIDE HOLDIN
|
647,000
|
principal, 6.500% 11/15/2022 DD 05/15/13
|
666,410
|
||||||||
CLEAR CHANNEL WORLDWIDE HOLDIN
|
2,441,000
|
principal, 7.625% 03/15/2020 DD 03/15/12
|
2,569,152
|
||||||||
CLECO POWER LLC
|
100,000
|
principal, 6.000% 12/01/2040 DD 11/15/10
|
119,765
|
||||||||
CLIFFS NATURAL RESOURCES INC
|
900,000
|
principal, 6.250% 10/01/2040 DD 09/20/10
|
468,000
|
||||||||
CME GROUP INC/IL
|
500,000
|
principal, 5.300% 09/15/2043 DD 09/09/13
|
605,841
|
||||||||
COGECO CABLE INC 144A
|
124,000
|
principal, 4.875% 05/01/2020 DD 04/23/13
|
124,000
|
||||||||
COMCAST CABLE COMMUNICATIONS H
|
200,000
|
principal, 9.455% 11/15/2022 DD 11/18/02
|
287,529
|
||||||||
COMCAST CORP
|
1,300,000
|
principal, 4.650% 07/15/2042 DD 07/02/12
|
1,422,866
|
||||||||
COMCAST CORP
|
3,700,000
|
principal, 5.700% 05/15/2018 DD 05/07/08
|
4,166,403
|
||||||||
COMCAST CORP
|
1,125,000
|
principal, 5.875% 02/15/2018 DD 11/17/06
|
1,265,763
|
||||||||
COMCAST CORP
|
300,000
|
principal, 6.300% 11/15/2017 DD 08/23/07
|
339,767
|
||||||||
COMCAST CORP
|
1,200,000
|
principal, 6.400% 03/01/2040 DD 03/01/10
|
1,623,468
|
||||||||
COMCAST CORP
|
100,000
|
principal, 6.550% 07/01/2039 DD 06/18/09
|
136,572
|
||||||||
COMCAST CORP
|
30,000
|
principal, 6.950% 08/15/2037 DD 08/23/07
|
42,267
|
||||||||
COMM 2012-LC4 MORTGAGE LC4 A2
|
920,000
|
principal, 2.256% 12/10/2044 DD 03/01/12
|
937,361
|
||||||||
COMM 2013-CCRE6 MORTGAG CR6 A1
|
573,312
|
principal, 0.719% 03/10/2046 DD 03/01/13
|
569,428
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
COMMERZBANK AG 144A
|
1,400,000
|
principal, 8.125% 09/19/2023 DD 09/19/13
|
$ |
1,609,790
|
|||||||
COMMSCOPE INC 144A
|
823,000
|
principal, 5.000% 06/15/2021 DD 05/30/14
|
810,655
|
||||||||
COMMUNITY HEALTH 1/14 COV-LITE
|
195,030
|
principal, TLD LIBOR + 300bps 1/27/21
|
194,339
|
||||||||
CONCHO RESOURCES INC
|
3,428,000
|
principal, 5.500% 04/01/2023 DD 08/17/12
|
3,444,112
|
||||||||
CONSOLIDATED EDISON CO OF NEW
|
200,000
|
principal, 6.750% 04/01/2038 DD 04/04/08
|
278,513
|
||||||||
CONSTELLATION BRANDS INC
|
1,125,000
|
principal, 3.750% 05/01/2021 DD 05/14/13
|
1,113,750
|
||||||||
CONSTELLATION BRANDS INC
|
153,000
|
principal, 3.875% 11/15/2019 DD 11/03/14
|
154,147
|
||||||||
CONSTELLATION BRANDS INC
|
608,000
|
principal, 4.750% 11/15/2024 DD 11/03/14
|
615,600
|
||||||||
CONSTELLIUM NV 144A
|
33,000
|
principal, 5.750% 05/15/2024 DD 05/07/14
|
28,710
|
||||||||
CONTINENTAL AIRLINES 2005-ERJ1
|
1,373,819
|
principal, 9.798% 10/01/2022 DD 09/22/05
|
1,538,677
|
||||||||
CONVATEC FINANCE INTERNAT 144A
|
292,000
|
principal, 8.250% 01/15/2019 DD 08/12/13
|
296,380
|
||||||||
CONVATEC HEALTHCARE E SA 144A
|
494,000
|
principal, 10.500% 12/15/2018 DD 12/22/10
|
521,170
|
||||||||
CORP NACIONAL DEL COBRE D 144A
|
400,000
|
principal, 4.250% 07/17/2042 DD 07/17/12
|
367,406
|
||||||||
CORP NACIONAL DEL COBRE D 144A
|
300,000
|
principal, 5.625% 10/18/2043 DD 10/18/13
|
338,533
|
||||||||
COVIDIEN INTERNATIONAL FINANCE
|
3,881,000
|
principal, 6.000% 10/15/2017 DD 04/15/08
|
4,343,192
|
||||||||
COX COMMUNICATIONS INC
|
5,300,000
|
principal, 6.250% 06/01/2018 DD 06/05/08
|
5,984,410
|
||||||||
COX COMMUNICATIONS INC
|
1,200,000
|
principal, 6.450% 12/01/2036 DD 12/01/06
|
1,430,743
|
||||||||
COX COMMUNICATIONS INC 144A
|
4,000,000
|
principal, 3.250% 12/15/2022 DD 11/29/12
|
3,927,356
|
||||||||
COX COMMUNICATIONS INC 144A
|
2,200,000
|
principal, 9.375% 01/15/2019 DD 12/15/08
|
2,768,748
|
||||||||
CROWN AMERICAS LLC / CROWN AME
|
1,250,000
|
principal, 6.250% 02/01/2021 DD 08/01/11
|
1,315,625
|
||||||||
CROWN CASTLE INTERNATIONAL COR
|
822,000
|
principal, 5.250% 01/15/2023 DD 10/15/12
|
838,440
|
||||||||
CROWN CASTLE INTL CORP
|
257,000
|
principal, 4.875% 04/15/2022 DD 04/15/14
|
259,570
|
||||||||
CROWN CASTLE TOWERS LLC 144A
|
735,000
|
principal, 6.113% 01/15/2040 DD 01/15/10
|
844,252
|
||||||||
CSC HOLDINGS LLC
|
1,037,000
|
principal, 6.750% 11/15/2021 DD 11/15/11
|
1,145,885
|
||||||||
CSX CORP
|
300,000
|
principal, 5.500% 04/15/2041 DD 10/21/10
|
361,923
|
||||||||
CSX CORP
|
230,000
|
principal, 6.150% 05/01/2037 DD 04/25/07
|
297,481
|
||||||||
CTP TRANSPORTATION PRODUC 144A
|
420,000
|
principal, 8.250% 12/15/2019 DD 12/20/13
|
443,100
|
||||||||
CVS PASS-THROUGH TRUST 144A
|
371,796
|
principal, 5.926% 01/10/2034 DD 12/21/11
|
432,348
|
||||||||
CVS PASS-THROUGH TRUST 144A
|
267,916
|
principal, 7.507% 01/10/2032 DD 12/22/09
|
341,667
|
||||||||
CVS PASS-THROUGH TRUST 144A
|
712,190
|
principal, 8.353% 07/10/2031 DD 06/26/09
|
963,232
|
||||||||
CYRUSONE LP / CYRUSONE FINANCE
|
793,000
|
principal, 6.375% 11/15/2022 DD 05/15/13
|
846,527
|
||||||||
DANA HOLDING CORP
|
1,200,000
|
principal, 5.375% 09/15/2021 DD 08/02/13
|
1,236,000
|
||||||||
DANA HOLDING CORP
|
182,000
|
principal, 5.500% 12/15/2024 DD 12/09/14
|
183,820
|
||||||||
DANA HOLDING CORP
|
855,000
|
principal, 6.750% 02/15/2021 DD 01/28/11
|
904,162
|
||||||||
DARLING INGREDIENTS INC
|
495,000
|
principal, 5.375% 01/15/2022 DD 07/15/14
|
487,575
|
||||||||
DAVITA HEALTHCARE PARTNE
|
812,000
|
principal, 5.125% 07/15/2024 DD 06/13/14
|
828,240
|
||||||||
DAVITA HEALTHCARE PARTNERS INC
|
2,152,000
|
principal, 5.750% 08/15/2022 DD 08/28/12
|
2,281,120
|
||||||||
DENALI BORROWER LLC / DEN 144A
|
700,000
|
principal, 5.625% 10/15/2020 DD 10/07/13
|
728,350
|
||||||||
DENBURY RESOURCES INC
|
1,250,000
|
principal, 6.375% 08/15/2021 DD 02/17/11
|
1,187,500
|
||||||||
DEUTSCHE TELEKOM INTERNATIONAL
|
1,000,000
|
principal, VAR RT 06/15/2030 DD 07/06/00
|
1,477,158
|
||||||||
DEVON ENERGY CORP
|
1,300,000
|
principal, 4.750% 05/15/2042 DD 05/14/12
|
1,308,687
|
||||||||
DIAMOND FOODS INC 144A
|
132,000
|
principal, 7.000% 03/15/2019 DD 02/19/14
|
135,300
|
||||||||
DIAMONDBACK ENERGY INC
|
146,000
|
principal, 7.625% 10/01/2021 DD 10/01/14
|
142,532
|
||||||||
DIGITALGLOBE INC 144A
|
646,000
|
principal, 5.250% 02/01/2021 DD 01/31/13
|
613,700
|
||||||||
DIRECTV HOLDINGS/FING
|
500,000
|
principal, 3.950% 01/15/2025 DD 12/11/14
|
503,934
|
||||||||
DISCOVER CARD EXECUTION A1 A1
|
1,568,000
|
principal, VAR RT 07/15/2021 DD 01/27/14
|
1,571,393
|
||||||||
DISCOVERY COMMUNICATIONS LLC
|
900,000
|
principal, 4.950% 05/15/2042 DD 05/17/12
|
933,604
|
||||||||
DISH DBS CORP
|
755,000
|
principal, 5.000% 03/15/2023 DD 12/27/12
|
730,462
|
||||||||
DISH DBS CORP
|
755,000
|
principal, 5.125% 05/01/2020 DD 04/05/13
|
760,662
|
||||||||
DISH DBS CORP
|
1,764,000
|
principal, 5.875% 07/15/2022 DD 05/16/12
|
1,808,100
|
||||||||
DISH DBS CORP
|
75,000
|
principal, 5.875% 11/15/2024 DD 11/20/14
|
75,375
|
||||||||
DISH DBS CORP
|
1,200,000
|
principal, 6.750% 06/01/2021 DD 05/05/11
|
1,290,000
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
DNB BANK ASA 144A
|
1,000,000
|
principal, 3.200% 04/03/2017 DD 04/03/12
|
$ |
1,036,404
|
|||||||
DOMINION RESOURCES INC
|
1,825,000
|
principal, VAR RT 10/01/2054 DD 10/03/14
|
1,904,232
|
||||||||
DORIC NIMROD AIR FINANCE 144A
|
174,817
|
principal, 5.125% 11/30/2024 DD 07/11/12
|
180,622
|
||||||||
DOW CHEMICAL CO/THE
|
1,227,000
|
principal, 5.700% 05/15/2018 DD 05/06/08
|
1,362,157
|
||||||||
DOW CHEMICAL CO/THE
|
650,000
|
principal, 7.375% 11/01/2029 DD 11/01/99
|
865,292
|
||||||||
DOW CHEMICAL CO/THE
|
3,066,000
|
principal, 8.550% 05/15/2019 DD 05/13/09
|
3,811,792
|
||||||||
DOW CHEMICAL CO/THE
|
1,525,000
|
principal, 9.400% 05/15/2039 DD 05/13/09
|
2,474,363
|
||||||||
DR HORTON INC
|
515,000
|
principal, 3.750% 03/01/2019 DD 02/24/14
|
509,850
|
||||||||
DUKE ENERGY CAROLINAS LLC
|
100,000
|
principal, 6.050% 04/15/2038 DD 04/14/08
|
130,034
|
||||||||
DUKE ENERGY FLORIDA INC
|
110,000
|
principal, 6.350% 09/15/2037 DD 09/18/07
|
152,483
|
||||||||
DUKE ENERGY PROGRESS INC
|
700,000
|
principal, 4.100% 05/15/2042 DD 05/18/12
|
742,216
|
||||||||
DUKE ENERGY PROGRESS INC
|
400,000
|
principal, 4.375% 03/30/2044 DD 03/06/14
|
439,202
|
||||||||
E*TRADE FINANCIAL CORP
|
522,000
|
principal, 5.375% 11/15/2022 DD 11/17/14
|
533,745
|
||||||||
E*TRADE FINANCIAL CORP
|
874,000
|
principal, 6.375% 11/15/2019 DD 11/14/12
|
926,440
|
||||||||
EATON CORP
|
4,350,000
|
principal, 1.500% 11/02/2017 DD 11/02/13
|
4,324,800
|
||||||||
ECO SERVICES OP/ECO FIN 144A
|
216,000
|
principal, 8.500% 11/01/2022 DD 10/24/14
|
219,240
|
||||||||
ECOPETROL SA
|
700,000
|
principal, 7.375% 09/18/2043 DD 09/18/13
|
756,000
|
||||||||
EKSPORTFINANS ASA
|
300,000
|
principal, 2.000% 09/15/2015 DD 09/15/10
|
300,351
|
||||||||
EKSPORTFINANS ASA
|
100,000
|
principal, 2.375% 05/25/2016 DD 05/25/11
|
100,234
|
||||||||
EKSPORTFINANS ASA
|
500,000
|
principal, 5.500% 05/25/2016 DD 05/25/06
|
522,425
|
||||||||
EKSPORTFINANS ASA
|
100,000
|
principal, 5.500% 06/26/2017
|
106,561
|
||||||||
EKSPORTFINANS ASA
|
500,000
|
principal, 5.500% 06/26/2017 DD 06/26/07
|
532,805
|
||||||||
ELECTRICITE DE FRANCE SA 144A
|
1,000,000
|
principal, 6.950% 01/26/2039 DD 01/26/09
|
1,358,560
|
||||||||
EMDEON INC
|
399,000
|
principal, 11.000% 12/31/2019 DD 06/30/12
|
433,912
|
||||||||
ENABLE MIDSTREAM PARTNER 144A
|
400,000
|
principal, 5.000% 05/15/2044 DD 05/27/14
|
376,792
|
||||||||
ENBRIDGE ENERGY PARTNERS LP
|
100,000
|
principal, 7.500% 04/15/2038 DD 04/03/08
|
122,353
|
||||||||
ENCANA CORP
|
800,000
|
principal, 5.150% 11/15/2041 DD 11/14/11
|
733,087
|
||||||||
ENCANA CORP
|
200,000
|
principal, 6.500% 08/15/2034 DD 08/04/04
|
217,103
|
||||||||
ENEL FINANCE INTERNATIONA 144A
|
2,650,000
|
principal, 6.000% 10/07/2039 DD 10/07/09
|
3,113,821
|
||||||||
ENEL FINANCE INTERNATIONA 144A
|
2,050,000
|
principal, 6.250% 09/15/2017 DD 09/20/07
|
2,275,371
|
||||||||
ENERGY TRANSFER EQUITY LP
|
1,220,000
|
principal, 5.875% 01/15/2024 DD 12/02/13
|
1,238,300
|
||||||||
ENERGY TRANSFER EQUITY LP
|
470,000
|
principal, 7.500% 10/15/2020 DD 09/20/10
|
521,700
|
||||||||
ENERGY TRANSFER PARTNERS LP
|
100,000
|
principal, 6.625% 10/15/2036 DD 10/23/06
|
112,718
|
||||||||
ENERGY TRANSFER PARTNERS LP
|
200,000
|
principal, 7.500% 07/01/2038 DD 03/28/08
|
248,227
|
||||||||
ENTEGRIS INC 144A
|
512,000
|
principal, 6.000% 04/01/2022 DD 04/01/14
|
518,400
|
||||||||
ENTERPRISE PRODUCTS OPERATING
|
1,500,000
|
principal, 4.450% 02/15/2043 DD 08/13/12
|
1,482,013
|
||||||||
ENTERPRISE PRODUCTS OPERATING
|
700,000
|
principal, 5.100% 02/15/2045 DD 02/12/14
|
752,634
|
||||||||
ENTERPRISE PRODUCTS OPERATING
|
10,000
|
principal, 5.750% 03/01/2035 DD 03/02/05
|
11,506
|
||||||||
EP ENERGY LLC / EP ENERGY FINA
|
2,163,000
|
principal, 9.375% 05/01/2020 DD 11/01/12
|
2,184,630
|
||||||||
EP ENERGY LLC / EVEREST ACQUIS
|
342,000
|
principal, 7.750% 09/01/2022 DD 08/13/12
|
319,770
|
||||||||
EQUINIX INC
|
1,337,000
|
principal, 4.875% 04/01/2020 DD 03/05/13
|
1,330,315
|
||||||||
EQUINIX INC
|
270,000
|
principal, 5.375% 01/01/2022 DD 11/20/14
|
272,538
|
||||||||
ERP OPERATING LP
|
4,225,000
|
principal, 2.375% 07/01/2019 DD 06/19/14
|
4,206,942
|
||||||||
ERP OPERATING LP
|
1,900,000
|
principal, 3.000% 04/15/2023 DD 04/10/13
|
1,853,055
|
||||||||
ERP OPERATING LP
|
500,000
|
principal, 4.625% 12/15/2021 DD 12/12/11
|
547,005
|
||||||||
EXPORT-IMPORT BANK OF KOREA
|
200,000
|
principal, 5.000% 04/11/2022
|
227,106
|
||||||||
FIRST DATA CORP
|
748,000
|
principal, 10.625% 06/15/2021 DD 02/15/14
|
847,110
|
||||||||
FIRST DATA CORP
|
514,000
|
principal, 12.625% 01/15/2021 DD 07/15/11
|
610,375
|
||||||||
FIRST DATA CORP 144A
|
1,387,000
|
principal, 7.375% 06/15/2019 DD 04/13/11
|
1,459,817
|
||||||||
FIRST DATA CORP 144A
|
928,000
|
principal, 8.250% 01/15/2021 DD 12/17/10
|
992,960
|
||||||||
FIRSTENERGY CORP
|
210,000
|
principal, 7.375% 11/15/2031 DD 11/15/01
|
254,177
|
||||||||
FLORIDA EAST COAST HLDGS 144A
|
494,000
|
principal, 6.750% 05/01/2019 DD 04/23/14
|
489,060
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
FLORIDA EAST COAST HLDGS 144A
|
259,000
|
principal, 9.750% 05/01/2020 DD 04/23/14
|
$ |
257,705
|
|||||||
FLORIDA POWER & LIGHT CO
|
400,000
|
principal, 4.050% 10/01/2044 DD 09/10/14
|
419,488
|
||||||||
FLORIDA POWER & LIGHT CO
|
100,000
|
principal, 5.950% 02/01/2038 DD 01/16/08
|
132,917
|
||||||||
FMG RESOURCES AUGUST 2006 144A
|
1,100,000
|
principal, 6.875% 04/01/2022 DD 03/19/12
|
915,750
|
||||||||
FMG RESOURCES AUGUST 2006 144A
|
525,000
|
principal, 8.250% 11/01/2019 DD 10/28/11
|
477,750
|
||||||||
FORD MOTOR CO
|
1,800,000
|
principal, 7.450% 07/16/2031 DD 07/16/99
|
2,443,671
|
||||||||
FORD MOTOR CO
|
500,000
|
principal, 8.875% 01/15/2022 DD 01/15/92
|
649,687
|
||||||||
FORD MOTOR CREDIT CO LLC
|
1,875,000
|
principal, 4.250% 09/20/2022 DD 09/25/12
|
1,989,497
|
||||||||
FORD MOTOR CREDIT CO LLC
|
4,000,000
|
principal, 5.000% 05/15/2018 DD 05/03/11
|
4,346,192
|
||||||||
FORD MOTOR CREDIT CO LLC
|
1,000,000
|
principal, 5.625% 09/15/2015 DD 09/21/10
|
1,031,843
|
||||||||
FORD MOTOR CREDIT CO LLC
|
900,000
|
principal, 5.750% 02/01/2021 DD 02/07/11
|
1,031,339
|
||||||||
FOUR SEASONS 6/13 2ND LIEN
|
122,000
|
principal, COV-LITE TL 6.25% 12/13/20
|
121,085
|
||||||||
FRANCE TELECOM SA
|
200,000
|
principal, VAR RT 03/01/2031 DD 09/01/01
|
305,076
|
||||||||
FREEPORT-MCMORAN INC
|
600,000
|
principal, 5.400% 11/14/2034 DD 11/14/14
|
584,943
|
||||||||
FREESCALE SEMICONDUCTOR I 144A
|
601,000
|
principal, 6.000% 01/15/2022 DD 11/01/13
|
628,045
|
||||||||
FRESENIUS MED CARE II 144A
|
290,000
|
principal, 4.750% 10/15/2024 DD 10/29/14
|
292,900
|
||||||||
FRESENIUS MEDICAL CARE US 144A
|
778,000
|
principal, 5.875% 01/31/2022 DD 01/26/12
|
844,130
|
||||||||
FRONTIER COMMUNICATIONS
|
52,000
|
principal, 6.250% 09/15/2021 DD 09/17/14
|
52,260
|
||||||||
FRONTIER COMMUNICATIONS
|
1,583,000
|
principal, 6.875% 01/15/2025 DD 09/17/14
|
1,583,000
|
||||||||
FRONTIER COMMUNICATIONS CORP
|
1,633,000
|
principal, 7.125% 01/15/2023 DD 08/15/12
|
1,661,577
|
||||||||
GANNETT CO INC
|
107,000
|
principal, 6.375% 10/15/2023 DD 10/03/13
|
113,420
|
||||||||
GANNETT CO INC 144A
|
185,000
|
principal, 4.875% 09/15/2021 DD 09/08/14
|
183,612
|
||||||||
GANNETT CO INC 144A
|
163,000
|
principal, 5.500% 09/15/2024 DD 09/08/14
|
163,407
|
||||||||
GATES GLOBAL LLC 144A
|
2,128,000
|
principal, 6.000% 07/15/2022 DD 06/26/14
|
2,037,986
|
||||||||
GE CAPITAL CREDIT CARD MAS 3 A
|
2,270,000
|
principal, VAR RT 03/15/2020 DD 04/18/12
|
2,267,078
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
7,500,000
|
principal, 2.150% 01/09/2015 DD 01/09/12
|
7,501,230
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
925,000
|
principal, 4.375% 09/16/2020 DD 09/16/10
|
1,013,093
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
875,000
|
principal, 4.650% 10/17/2021 DD 10/17/11
|
986,238
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
2,950,000
|
principal, 5.500% 01/08/2020 DD 01/08/10
|
3,376,499
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
5,800,000
|
principal, 5.625% 05/01/2018 DD 04/21/08
|
6,526,346
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
300,000
|
principal, 5.875% 01/14/2038 DD 01/14/08
|
379,608
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
100,000
|
principal, 6.150% 08/07/2037 DD 08/07/07
|
130,433
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
1,100,000
|
principal, 6.750% 03/15/2032 DD 03/20/02
|
1,502,470
|
||||||||
GENERAL ELECTRIC CAPITAL CORP
|
400,000
|
principal, 6.875% 01/10/2039 DD 01/09/09
|
565,803
|
||||||||
GENERAL ELECTRIC CO
|
600,000
|
principal, 4.500% 03/11/2044 DD 03/11/14
|
659,533
|
||||||||
GENERAL MOTORS CO
|
1,347,000
|
principal, 4.875% 10/02/2023 DD 04/02/14
|
1,441,290
|
||||||||
GENERAL MOTORS FINL CO
|
247,000
|
principal, 4.375% 09/25/2021 DD 09/25/14
|
257,806
|
||||||||
GENWORTH HOLDINGS INC
|
995,000
|
principal, VAR RT 11/15/2066 DD 11/14/06
|
611,925
|
||||||||
GEO GROUP INC/THE
|
305,000
|
principal, 5.125% 04/01/2023 DD 10/01/13
|
299,662
|
||||||||
GEO GROUP INC/THE
|
795,000
|
principal, 5.875% 10/15/2024 DD 09/25/14
|
804,937
|
||||||||
GEORGIA-PACIFIC LLC 144A
|
600,000
|
principal, 5.400% 11/01/2020 DD 11/02/10
|
675,143
|
||||||||
GERDAU TRADE INC 144A
|
600,000
|
principal, 5.750% 01/30/2021 DD 10/01/10
|
609,300
|
||||||||
GIBRALTAR INDUSTRIES INC
|
703,000
|
principal, VAR RT 02/01/2021 DD 08/01/13
|
713,545
|
||||||||
GILEAD SCIENCES INC
|
1,000,000
|
principal, 4.500% 02/01/2045 DD 11/17/14
|
1,066,135
|
||||||||
GLEN MEADOW PASS-THROUGH TRUST
|
1,000,000
|
principal, VAR RT 02/12/2067 DD 02/12/07
|
977,500
|
||||||||
GLP CAPITAL LP / GLP FINANCING
|
191,000
|
principal, 4.875% 11/01/2020 DD 05/01/14
|
193,387
|
||||||||
GLP CAPITAL LP / GLP FINANCING
|
344,000
|
principal, 5.375% 11/01/2023 DD 05/01/14
|
356,040
|
||||||||
GOLDCORP INC
|
500,000
|
principal, 5.450% 06/09/2044 DD 06/09/14
|
502,130
|
||||||||
GOLDMAN SACHS GROUP INC
|
800,000
|
principal, 3.850% 07/08/2024 DD 07/08/14
|
820,478
|
||||||||
GOLDMAN SACHS GROUP INC
|
800,000
|
principal, 4.000% 03/03/2024 DD 03/03/14
|
830,519
|
||||||||
GOLDMAN SACHS GROUP INC
|
1,200,000
|
principal, 4.800% 07/08/2044 DD 07/08/14
|
1,273,473
|
||||||||
GOLDMAN SACHS GROUP INC/THE
|
100,000
|
principal, 2.375% 01/22/2018 DD 01/22/13
|
101,010
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
GOLDMAN SACHS GROUP INC/THE
|
500,000
|
principal, 5.750% 01/24/2022 DD 01/24/12
|
$ |
578,393
|
|||||||
GOLDMAN SACHS GROUP INC/THE
|
310,000
|
principal, 6.125% 02/15/2033 DD 02/13/03
|
379,970
|
||||||||
GOLDMAN SACHS GROUP INC/THE
|
100,000
|
principal, 6.250% 02/01/2041 DD 01/28/11
|
126,414
|
||||||||
GOLDMAN SACHS GROUP INC/THE
|
100,000
|
principal, 6.750% 10/01/2037 DD 10/03/07
|
125,737
|
||||||||
GOLDMAN SACHS GROUP INC/THE
|
300,000
|
principal, VAR RT 01/12/2015 DD 01/12/05
|
300,007
|
||||||||
GOLDMAN SACHS GROUP INC/THE
|
200,000
|
principal, VAR RT 07/22/2015 DD 07/22/05
|
199,969
|
||||||||
GOODMAN NETWORKS INC
|
210,000
|
principal, VAR RT 07/01/2018 DD 01/01/14
|
216,825
|
||||||||
GOODYEAR TIRE & RUBBER CO/THE
|
1,550,000
|
principal, 7.000% 05/15/2022 DD 02/28/12
|
1,674,000
|
||||||||
GRAPHIC PACKAGING INTERNATIONA
|
925,000
|
principal, 4.750% 04/15/2021 DD 04/02/13
|
931,937
|
||||||||
GRIFOLS WORLDWIDE OP LTD 144A
|
824,000
|
principal, 5.250% 04/01/2022 DD 03/12/14
|
842,705
|
||||||||
GROUP 1 AUTOMOTIVE INC
|
230,000
|
principal, 5.000% 06/01/2022 DD 06/02/14
|
224,825
|
||||||||
H&E EQUIPMENT SERVICES INC
|
418,000
|
principal, 7.000% 09/01/2022 DD 03/01/13
|
430,017
|
||||||||
HAPAG-LLOYD AG 144A
|
725,000
|
principal, 9.750% 10/15/2017 DD 10/08/10
|
735,875
|
||||||||
HBOS PLC 144A
|
250,000
|
principal, 6.000% 11/01/2033 DD 10/30/03
|
282,329
|
||||||||
HBOS PLC 144A
|
200,000
|
principal, 6.750% 05/21/2018 DD 05/21/08
|
222,899
|
||||||||
HCA HOLDINGS INC
|
1,698,000
|
principal, 6.250% 02/15/2021 DD 12/06/12
|
1,808,370
|
||||||||
HCA INC
|
4,300,000
|
principal, 3.750% 03/15/2019 DD 03/17/14
|
4,305,375
|
||||||||
HCA INC
|
2,600,000
|
principal, 5.000% 03/15/2024 DD 03/17/14
|
2,671,500
|
||||||||
HCA INC
|
574,000
|
principal, 5.250% 04/15/2025 DD 10/17/14
|
599,830
|
||||||||
HCA INC
|
1,780,000
|
principal, 6.500% 02/15/2020 DD 08/01/11
|
1,994,490
|
||||||||
HCA INC
|
1,950,000
|
principal, 7.500% 02/15/2022 DD 08/01/11
|
2,227,875
|
||||||||
HCP INC
|
500,000
|
principal, 6.750% 02/01/2041 DD 01/24/11
|
678,700
|
||||||||
HD SUPPLY INC
|
323,000
|
principal, 11.500% 07/15/2020 DD 10/15/12
|
369,835
|
||||||||
HD SUPPLY INC
|
969,000
|
principal, 7.500% 07/15/2020 DD 10/15/13
|
1,015,027
|
||||||||
HD SUPPLY INC 144A
|
381,000
|
principal, 5.250% 12/15/2021 DD 12/04/14
|
387,667
|
||||||||
HDTFS INC
|
550,000
|
principal, 6.250% 10/15/2022 DD 10/16/12
|
555,500
|
||||||||
HEALTH NET INC/CA
|
1,025,000
|
principal, 6.375% 06/01/2017 DD 05/18/07
|
1,107,000
|
||||||||
HEALTHSOUTH CORP
|
418,000
|
principal, 8.125% 02/15/2020 DD 12/01/09
|
436,810
|
||||||||
HEINEKEN NV 144A
|
1,600,000
|
principal, 1.400% 10/01/2017 DD 10/10/12
|
1,590,781
|
||||||||
HERTZ CORP/THE
|
2,402,000
|
principal, 7.375% 01/15/2021 DD 07/15/11
|
2,522,100
|
||||||||
HESS CORP
|
100,000
|
principal, 7.300% 08/15/2031 DD 08/15/01
|
124,239
|
||||||||
HEXION US FINANCE CORP
|
440,000
|
principal, 6.625% 04/15/2020 DD 03/14/12
|
431,200
|
||||||||
HEXION US FINANCE CORP / HEXIO
|
555,000
|
principal, 8.875% 02/01/2018 DD 01/29/10
|
493,950
|
||||||||
HILAND PART LP/CORP 144A
|
296,000
|
principal, 5.500% 05/15/2022 DD 05/14/14
|
260,480
|
||||||||
HILAND PARTNERS LP / HILA 144A
|
1,415,000
|
principal, 7.250% 10/01/2020 DD 09/18/12
|
1,344,250
|
||||||||
HILCORP ENERGY I/HILCORP 144A
|
72,000
|
principal, 5.000% 12/01/2024 DD 07/09/14
|
63,360
|
||||||||
HILTON WORLDWIDE FINANCE LLC /
|
1,083,000
|
principal, 5.625% 10/15/2021 DD 10/15/14
|
1,131,735
|
||||||||
HJ HEINZ FINANCE CO 144A
|
200,000
|
principal, 7.125% 08/01/2039 DD 07/29/09
|
216,000
|
||||||||
HOCKEY MERGER SUB 2 INC 144A
|
970,000
|
principal, 7.875% 10/01/2021 DD 10/02/13
|
965,150
|
||||||||
HOLOGIC INC
|
515,000
|
principal, 6.250% 08/01/2020 DD 02/01/13
|
535,600
|
||||||||
HOME DEPOT INC
|
1,000,000
|
principal, 4.400% 03/15/2045 DD 06/12/14
|
1,092,916
|
||||||||
HORNBECK OFFSHORE SERVICES INC
|
1,200,000
|
principal, 5.000% 03/01/2021 DD 09/01/13
|
984,000
|
||||||||
HSBC AMERICAS INC DISC
|
570,000
|
principal, VAR RT 01/02/2015
|
569,998
|
||||||||
HSBC BANK USA NA/NEW YORK NY
|
30,000
|
principal, 5.875% 11/01/2034 DD 10/25/04
|
37,478
|
||||||||
HSBC HOLDINGS PLC
|
550,000
|
principal, 5.100% 04/05/2021 DD 04/05/11
|
621,719
|
||||||||
HSBC HOLDINGS PLC
|
2,750,000
|
principal, 6.500% 05/02/2036 DD 05/03/06
|
3,531,918
|
||||||||
HSBC HOLDINGS PLC
|
1,875,000
|
principal, 6.500% 09/15/2037 DD 09/12/07
|
2,409,161
|
||||||||
HSBC HOLDINGS PLC
|
200,000
|
principal, 6.800% 06/01/2038 DD 05/27/08
|
265,235
|
||||||||
HSBC USA INC
|
5,075,000
|
principal, 2.375% 02/13/2015 DD 02/13/12
|
5,085,196
|
||||||||
HSBC USA INC
|
1,375,000
|
principal, 2.625% 09/24/2018 DD 09/24/13
|
1,410,307
|
||||||||
HUGHES SATELLITE SYSTEMS CORP
|
597,000
|
principal, 6.500% 06/15/2019 DD 12/15/11
|
640,282
|
||||||||
HUGHES SATELLITE SYSTEMS CORP
|
1,817,000
|
principal, 7.625% 06/15/2021 DD 12/15/11
|
1,998,700
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
HUNTINGTON INGALLS INDUS 144A
|
541,000
|
principal, 5.000% 12/15/2021 DD 12/02/14
|
$ |
550,467
|
||||||
HUNTSMAN INTERNATIONAL L 144A
|
243,000
|
principal, 5.125% 11/15/2022 DD 11/13/14
|
239,355
|
|||||||
HUNTSMAN INTERNATIONAL LLC
|
240,000
|
principal, 4.875% 11/15/2020 DD 11/19/12
|
238,200
|
|||||||
HUNTSMAN INTERNATIONAL LLC
|
1,110,000
|
principal, 8.625% 03/15/2021 DD 03/15/11
|
1,190,475
|
|||||||
HYUNDAI CAPITAL AMERICA 144A
|
1,000,000
|
principal, 1.625% 10/02/2015 DD 10/01/12
|
1,004,102
|
|||||||
ICAHN ENTERPRISES LP / ICAHN E
|
823,000
|
principal, 5.875% 02/01/2022 DD 01/29/14
|
826,601
|
|||||||
ICAHN ENTERPRISES LP / ICAHN E
|
2,604,000
|
principal, 6.000% 08/01/2020 DD 08/01/13
|
2,682,641
|
|||||||
IHS INC 144A
|
546,000
|
principal, 5.000% 11/01/2022 DD 10/28/14
|
540,540
|
|||||||
IMS HEALTH INC 144A
|
437,000
|
principal, 6.000% 11/01/2020 DD 10/24/12
|
450,110
|
|||||||
INEOS GROUP HOLDINGS SA 144A
|
512,000
|
principal, 5.875% 02/15/2019 DD 02/18/14
|
485,120
|
|||||||
INMARSAT FINANCE PLC
|
1,865,000
|
principal, 4.875% 05/15/2022 DD 06/04/14
|
1,846,350
|
|||||||
INTELSAT JACKSON HOLDINGS SA
|
1,675,000
|
principal, 7.250% 04/01/2019 DD 10/01/11
|
1,748,281
|
|||||||
INTELSAT JACKSON HOLDINGS SA
|
1,672,000
|
principal, 7.500% 04/01/2021 DD 10/01/11
|
1,789,040
|
|||||||
INTELSAT LUXEMBORURG S A
|
300,000
|
principal, 7.750% 06/01/2021 DD 04/05/13
|
300,750
|
|||||||
INTELSAT LUXEMBOURG S A
|
390,000
|
principal, 8.125% 06/01/2023 DD 04/05/13
|
397,800
|
|||||||
INTERCONTINENTALEXCHANGE GROUP
|
600,000
|
principal, 4.000% 10/15/2023 DD 10/08/13
|
631,569
|
|||||||
INTERNATIONAL LEASE FINANCE CO
|
1,789,000
|
principal, 8.250% 12/15/2020 DD 12/07/10
|
2,155,745
|
|||||||
IRON MOUNTAIN INC
|
960,000
|
principal, 5.750% 08/15/2024 DD 08/10/12
|
966,000
|
|||||||
IRON MOUNTAIN INC
|
900,000
|
principal, 6.000% 08/15/2023 DD 08/13/13
|
936,000
|
|||||||
ISLE OF CAPRI CASINOS INC
|
1,250,000
|
principal, 8.875% 06/15/2020 DD 08/07/12
|
1,300,000
|
|||||||
ISTAR FINANCIAL INC
|
516,000
|
principal, 5.000% 07/01/2019 DD 06/13/14
|
500,520
|
|||||||
ITAU UNIBANCO HOLDING SA/ 144A
|
1,000,000
|
principal, 5.125% 05/13/2023 DD 11/13/12
|
992,500
|
|||||||
JAGUAR HOLDING CO I 144A
|
333,000
|
principal, 9.375% 10/15/2017 DD 10/15/12
|
340,326
|
|||||||
JAGUAR HOLDING CO II / JA 144A
|
610,000
|
principal, 9.500% 12/01/2019 DD 12/05/11
|
654,225
|
|||||||
JAGUAR LAND ROVER AUTOMOT 144A
|
325,000
|
principal, 4.125% 12/15/2018 DD 12/17/13
|
326,625
|
|||||||
JAGUAR LAND ROVER AUTOMOT 144A
|
302,000
|
principal, 5.625% 02/01/2023 DD 01/28/13
|
317,855
|
|||||||
JBS USA LLC/JBS USA FINA 144A
|
180,000
|
principal, 5.875% 07/15/2024 DD 06/25/14
|
176,850
|
|||||||
JOHN DEERE CAPITAL CORP
|
3,900,000
|
principal, 0.700% 09/04/2015 DD 09/07/12
|
3,910,912
|
|||||||
JP MORGAN CHASE C CNTR A1 144A
|
270,183
|
principal, 3.300% 08/05/2032 DD 09/01/10
|
279,452
|
|||||||
JP MORGAN CHASE COM C1 A2 144A
|
536,000
|
principal, 4.608% 06/15/2043 DD 06/01/10
|
569,834
|
|||||||
JP MORGAN CHASE COM C2 A2 144A
|
477,000
|
principal, 3.616% 11/15/2043 DD 10/01/10
|
499,332
|
|||||||
JP MORGAN CHASE COM C3 A2 144A
|
1,177,724
|
principal, 3.673% 02/15/2046 DD 03/01/11
|
1,214,971
|
|||||||
JP MORGAN CHASE COM C4 A3 144A
|
400,000
|
principal, 4.106% 07/15/2046 DD 06/01/11
|
427,433
|
|||||||
JP MORGAN CHASE COMMERC CBX A3
|
635,227
|
principal, 3.139% 06/15/2045 DD 06/01/12
|
656,646
|
|||||||
JP MORGAN CHASE COMMERCI C5 A2
|
169,928
|
principal, 3.149% 08/15/2046 DD 09/01/11
|
174,965
|
|||||||
JPMORGAN CHASE & CO
|
7,000,000
|
principal, 1.875% 03/20/2015 DD 03/21/12
|
7,020,867
|
|||||||
JPMORGAN CHASE & CO
|
5,300,000
|
principal, 2.350% 01/28/2019 DD 01/28/14
|
5,334,577
|
|||||||
JPMORGAN CHASE & CO
|
1,225,000
|
principal, 4.350% 08/15/2021 DD 08/10/11
|
1,331,178
|
|||||||
JPMORGAN CHASE & CO
|
600,000
|
principal, 5.400% 01/06/2042 DD 12/22/11
|
705,301
|
|||||||
JPMORGAN CHASE & CO
|
1,000,000
|
principal, 5.625% 08/16/2043 DD 08/21/13
|
1,162,903
|
|||||||
JPMORGAN CHASE & CO
|
1,100,000
|
principal, 6.400% 05/15/2038 DD 05/22/08
|
1,437,191
|
|||||||
JPMORGAN CHASE BANK NA
|
1,300,000
|
principal, 6.000% 10/01/2017 DD 09/24/07
|
1,442,849
|
|||||||
K HOVNANIAN ENTERPRISES I 144A
|
645,000
|
principal, 7.000% 01/15/2019 DD 01/10/14
|
615,975
|
|||||||
KB HOME
|
1,100,000
|
principal, 7.500% 09/15/2022 DD 07/31/12
|
1,166,000
|
|||||||
KINDER MORGAN ENERGY PARTNERS
|
1,300,000
|
principal, 5.000% 08/15/2042 DD 08/13/12
|
1,235,478
|
|||||||
KINDER MORGAN ENERGY PARTNERS
|
200,000
|
principal, 5.800% 03/15/2035 DD 03/15/05
|
212,403
|
|||||||
KINDER MORGAN INC/DE 144A
|
1,360,000
|
principal, 5.000% 02/15/2021 DD 11/05/13
|
1,414,881
|
|||||||
KINDER MORGAN INC/DELAWA
|
4,500,000
|
principal, 3.050% 12/01/2019 DD 11/26/14
|
4,464,225
|
|||||||
KINDER MORGAN INC/DELAWA
|
700,000
|
principal, 4.300% 06/01/2025 DD 11/26/14
|
700,326
|
|||||||
KINETIC CONCEPTS INC / KCI USA
|
973,000
|
principal, VAR RT 11/01/2018 DD 11/01/12
|
1,058,137
|
|||||||
KLX INC 144A
|
1,295,000
|
principal, 5.875% 12/01/2022 DD 12/08/14
|
1,307,950
|
|||||||
KONINKLIJKE PHILIPS ELECTRONIC
|
2,215,000
|
principal, 5.750% 03/11/2018 DD 03/11/08
|
2,458,557
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
KRAFT FOODS GROUP INC
|
600,000
|
principal, 5.000% 06/04/2042 DD 12/04/12
|
$ |
660,482
|
||||||
KRAFT FOODS GROUP INC
|
1,295,000
|
principal, 6.500% 02/09/2040 DD 08/09/12
|
1,664,555
|
|||||||
L BRANDS INC
|
817,000
|
principal, 6.625% 04/01/2021 DD 03/25/11
|
919,125
|
|||||||
LAMAR MEDIA CORP
|
335,000
|
principal, 5.000% 05/01/2023 DD 10/30/12
|
331,650
|
|||||||
LAMAR MEDIA CORP
|
292,000
|
principal, 5.375% 01/15/2024 DD 07/15/14
|
300,760
|
|||||||
LAMAR MEDIA CORP
|
1,230,000
|
principal, 5.875% 02/01/2022 DD 02/09/12
|
1,276,125
|
|||||||
LAREDO PETROLEUM INC
|
528,000
|
principal, 5.625% 01/15/2022 DD 01/23/14
|
462,000
|
|||||||
LAREDO PETROLEUM INC
|
1,236,000
|
principal, 7.375% 05/01/2022 DD 04/27/12
|
1,155,660
|
|||||||
LENNAR CORP
|
1,300,000
|
principal, 5.600% 05/31/2015 DD 04/28/05
|
1,319,500
|
|||||||
LENNAR CORP
|
950,000
|
principal, 6.950% 06/01/2018 DD 05/04/10
|
1,026,000
|
|||||||
LEVEL 3 COMMUNICATIONS 144A
|
439,000
|
principal, 5.750% 12/01/2022 DD 12/01/14
|
441,744
|
|||||||
LEVEL 3 ESCROW 144A
|
692,000
|
principal, 5.375% 08/15/2022 DD 08/12/14
|
695,460
|
|||||||
LEVEL 3 FINANCING INC
|
283,000
|
principal, 6.125% 01/15/2021 DD 10/15/14
|
292,905
|
|||||||
LEVEL 3 FINANCING INC
|
299,000
|
principal, 7.000% 06/01/2020 DD 12/01/12
|
315,071
|
|||||||
LEVEL 3 FINANCING INC
|
110,000
|
principal, 8.625% 07/15/2020 DD 01/13/12
|
118,662
|
|||||||
LEVEL 3 FINANCING INC
|
538,000
|
principal, 9.375% 04/01/2019 DD 10/01/11
|
567,590
|
|||||||
LIBERTY INTERACTIVE LLC
|
90,000
|
principal, 8.250% 02/01/2030 DD 02/02/00
|
97,200
|
|||||||
LIBERTY INTERACTIVE LLC
|
260,000
|
principal, 8.500% 07/15/2029 DD 07/07/99
|
284,700
|
|||||||
LIBERTY MUTUAL GROUP INC
|
525,000
|
principal, 7.800% 03/07/2087 DD 03/07/07
|
614,250
|
|||||||
LIBERTY MUTUAL GROUP INC
|
555,000
|
principal, VAR RT 03/07/2067 DD 03/07/07
|
568,875
|
|||||||
LIBERTY MUTUAL GROUP INC 144A
|
600,000
|
principal, 4.850% 08/01/2044 DD 07/24/14
|
609,884
|
|||||||
LIFEPOINT HOSPITALS INC
|
573,000
|
principal, 5.500% 12/01/2021 DD 06/01/14
|
585,892
|
|||||||
LINN ENERGY LLC / LINN ENERGY
|
175,000
|
principal, 7.750% 02/01/2021 DD 09/13/10
|
147,437
|
|||||||
LINN ENERGY LLC / LINN ENERGY
|
1,230,000
|
principal, 8.625% 04/15/2020 DD 04/06/10
|
1,070,100
|
|||||||
LINN ENERGY LLC / LINN ENERGY
|
430,000
|
principal, VAR RT 11/01/2019 DD 05/01/14
|
363,350
|
|||||||
LINN ENERGY LLC/FIN CORP
|
900,000
|
principal, 6.500% 09/15/2021 DD 09/09/14
|
729,000
|
|||||||
LLOYDS BANK PLC 144A
|
100,000
|
principal, VAR RT 12/29/2049 DD 12/16/09
|
142,000
|
|||||||
LLOYDS TSB BANK PLC 144A
|
900,000
|
principal, 6.500% 09/14/2020 DD 09/14/10
|
1,042,849
|
|||||||
MACY'S RETAIL HOLDINGS INC
|
3,750,000
|
principal, 5.900% 12/01/2016 DD 11/29/06
|
4,068,836
|
|||||||
MACY'S RETAIL HOLDINGS INC
|
675,000
|
principal, 6.650% 07/15/2024 DD 07/20/04
|
837,061
|
|||||||
MACY'S RETAIL HOLDINGS INC
|
100,000
|
principal, 6.700% 07/15/2034 DD 07/20/04
|
127,840
|
|||||||
MACY'S RETAIL HOLDINGS INC
|
1,461,000
|
principal, 6.700% 09/15/2028 DD 09/28/98
|
1,789,493
|
|||||||
MACY'S RETAIL HOLDINGS INC
|
100,000
|
principal, 6.900% 01/15/2032 DD 01/11/02
|
130,109
|
|||||||
MACY'S RETAIL HOLDINGS INC
|
2,445,000
|
principal, 6.900% 04/01/2029 DD 03/24/99
|
3,112,204
|
|||||||
MAJAPAHIT HOLDING BV
|
1,000,000
|
principal, 7.750% 01/20/2020
|
1,150,990
|
|||||||
MALLINCKRODT FIN/SB 144A
|
1,420,000
|
principal, 5.750% 08/01/2022 DD 08/13/14
|
1,459,050
|
|||||||
MANITOWOC CO INC/THE
|
646,000
|
principal, 8.500% 11/01/2020 DD 10/18/10
|
697,680
|
|||||||
MARKWEST ENERGY PART/FIN
|
1,080,000
|
principal, 4.875% 12/01/2024 DD 11/21/14
|
1,055,700
|
|||||||
MARKWEST ENERGY PARTNERS LP /
|
203,000
|
principal, 4.500% 07/15/2023 DD 01/10/13
|
195,387
|
|||||||
MARKWEST ENERGY PARTNERS LP /
|
1,100,000
|
principal, 5.500% 02/15/2023 DD 08/10/12
|
1,113,750
|
|||||||
MARKWEST ENERGY PARTNERS LP /
|
1,632,000
|
principal, 6.250% 06/15/2022 DD 11/03/11
|
1,689,120
|
|||||||
MASTEC INC
|
900,000
|
principal, 4.875% 03/15/2023 DD 03/18/13
|
846,000
|
|||||||
MAXIM INTEGRATED PRODUCTS INC
|
4,300,000
|
principal, 2.500% 11/15/2018 DD 11/21/13
|
4,290,321
|
|||||||
MDC PARTNERS INC 144A
|
1,054,000
|
principal, 6.750% 04/01/2020 DD 03/20/13
|
1,085,620
|
|||||||
MEDIACOM BROADBAND LLC / MEDIA
|
75,000
|
principal, 5.500% 04/15/2021 DD 03/17/14
|
75,375
|
|||||||
MEDTRONIC INC 144A
|
800,000
|
principal, 4.375% 03/15/2035 DD 12/10/14
|
848,685
|
|||||||
MELLON CAPITAL III
|
600,000
|
principal, VAR RT 09/05/2066
|
972,972
|
|||||||
MERITAGE HOMES CORP
|
966,000
|
principal, 4.500% 03/01/2018 DD 03/13/13
|
966,000
|
|||||||
MERITAGE HOMES CORP
|
9,000
|
principal, 7.000% 04/01/2022 DD 04/10/12
|
9,540
|
|||||||
MERITAGE HOMES CORP
|
17,000
|
principal, 7.150% 04/15/2020 DD 04/13/10
|
18,275
|
|||||||
METLIFE INC
|
500,000
|
principal, 6.375% 06/15/2034 DD 06/03/04
|
666,270
|
|||||||
METROPCS WIRELESS INC
|
925,000
|
principal, 6.625% 11/15/2020 DD 11/17/10 | 941,187 |
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
MGM RESORTS INTERNATIONAL
|
2,222,000
|
principal, 6.750% 10/01/2020 DD 04/01/13
|
$ |
2,333,100
|
||||||
MGM RESORTS INTERNATIONAL
|
600,000
|
principal, 6.875% 04/01/2016 DD 04/05/06
|
624,000
|
|||||||
MGM RESORTS INTERNATIONAL
|
200,000
|
principal, 7.500% 06/01/2016 DD 05/17/07
|
211,000
|
|||||||
MGM RESORTS INTERNATIONAL
|
1,625,000
|
principal, 7.750% 03/15/2022 DD 03/22/12
|
1,799,687
|
|||||||
MGM RESORTS INTL
|
1,702,000
|
principal, 6.000% 03/15/2023 DD 11/25/14
|
1,710,510
|
|||||||
MILACRON LLC / MCRON FINA 144A
|
1,250,000
|
principal, 7.750% 02/15/2021 DD 03/28/13
|
1,275,000
|
|||||||
MOHEGAN TRIBAL GAMING AUTHORIT
|
795,000
|
principal, 9.750% 09/01/2021 DD 03/01/14
|
810,900
|
|||||||
MOLSON COORS BREWING CO
|
1,100,000
|
principal, 5.000% 05/01/2042 DD 05/03/12
|
1,194,017
|
|||||||
MONITRONICS INTERNATIONAL INC
|
412,000
|
principal, 9.125% 04/01/2020 DD 03/23/12
|
389,082
|
|||||||
MOOG INC 144A
|
605,000
|
principal, 5.250% 12/01/2022 DD 11/21/14
|
612,562
|
|||||||
MORGAN STANLEY
|
700,000
|
principal, 7.250% 04/01/2032 DD 04/03/02
|
958,313
|
|||||||
MORGAN STANLEY CAPI C2 A3 144A
|
147,000
|
principal, 4.210% 06/15/2044 DD 06/01/11
|
158,104
|
|||||||
MOTEL 6 TRUST MTL6 A2 144A
|
4,218,000
|
principal, 1.948% 10/05/2025 DD 11/01/12
|
4,204,498
|
|||||||
MPG HOLDCO I INC
|
1,050,000
|
principal, 7.375% 10/15/2022 DD 10/20/14
|
1,081,500
|
|||||||
MPH ACQUISITION HOLDINGS 144A
|
1,608,000
|
principal, 6.625% 04/01/2022 DD 03/31/14
|
1,644,180
|
|||||||
MSCI INC 144A
|
549,000
|
principal, 5.250% 11/15/2024 DD 11/20/14
|
568,215
|
|||||||
MURPHY OIL USA INC
|
1,150,000
|
principal, 6.000% 08/15/2023 DD 02/15/14
|
1,201,750
|
|||||||
MUTUAL OF OMAHA INS CO 144A
|
500,000
|
principal, VAR RT 07/15/2054 DD 07/17/14
|
505,971
|
|||||||
MYRIAD INTERNATIONAL HOLD 144A
|
1,725,000
|
principal, 6.000% 07/18/2020 DD 07/18/13
|
1,884,562
|
|||||||
NAVIENT CORP
|
506,000
|
principal, 5.000% 10/26/2020 DD 11/06/14
|
496,512
|
|||||||
NAVIENT CORP
|
1,132,000
|
principal, 5.875% 10/25/2024 DD 11/06/14
|
1,078,230
|
|||||||
NAVIENT CORP
|
600,000
|
principal, 7.250% 01/25/2022 DD 01/27/12
|
651,000
|
|||||||
NAVIENT CORP
|
2,450,000
|
principal, 8.000% 03/25/2020 DD 03/22/10
|
2,713,375
|
|||||||
NAVIENT LLC
|
300,000
|
principal, 5.625% 08/01/2033 DD 07/21/03
|
226,500
|
|||||||
NAVIENT STUDENT LOAN TRUS 8 A2
|
1,753,000
|
principal, VAR RT 04/25/2023 DD 11/25/14
|
1,753,861
|
|||||||
NAVIENT STUDNT LN 14-CT A 144A
|
2,497,464
|
principal, VAR RT 09/16/2024 DD 07/24/14
|
2,497,903
|
|||||||
NAVISTAR INTERNATIONAL CORP
|
1,460,000
|
principal, 8.250% 11/01/2021 DD 10/28/09
|
1,439,925
|
|||||||
NBCUNIVERSAL MEDIA LLC
|
200,000
|
principal, 6.400% 04/30/2040 DD 04/30/11
|
267,959
|
|||||||
NBCUNIVERSAL MEDIA LLC
|
400,000
|
principal, 5.950% 04/01/2041 DD 04/01/11
|
514,366
|
|||||||
NCL CORP LTD 144A
|
575,000
|
principal, 5.250% 11/15/2019 DD 11/19/14
|
579,312
|
|||||||
NCR CORP
|
1,150,000
|
principal, 5.000% 07/15/2022 DD 01/15/13
|
1,121,250
|
|||||||
NCR CORP
|
898,000
|
principal, 5.875% 12/15/2021 DD 06/15/14
|
922,695
|
|||||||
NCUA GUARANTEED NOTES
|
3,775,000
|
principal, 1.400% 06/12/2015 DD 06/16/11
|
3,794,366
|
|||||||
NELNET STUDENT LOAN TRUST 2 A4
|
817,739
|
principal, VAR RT 10/26/2026 DD 05/18/06
|
816,543
|
|||||||
NELNET STUDENT LOAN TRUST 4 A5
|
888,893
|
principal, VAR RT 01/25/2037 DD 09/29/04
|
879,211
|
|||||||
NEWFIELD EXPLORATION CO
|
970,000
|
principal, 6.875% 02/01/2020 DD 01/25/10
|
984,550
|
|||||||
NEWMONT MINING CORP
|
1,000,000
|
principal, 6.250% 10/01/2039 DD 09/18/09
|
1,014,353
|
|||||||
NEWS AMERICA INC
|
2,000,000
|
principal, 7.250% 05/18/2018 DD 05/18/98
|
2,341,408
|
|||||||
NEWS AMERICA INC
|
700,000
|
principal, 6.400% 12/15/2035 DD 12/23/05
|
913,612
|
|||||||
NEWS AMERICA INC
|
1,375,000
|
principal, 6.650% 11/15/2037 DD 11/14/07
|
1,835,982
|
|||||||
NEWS AMERICA INC
|
800,000
|
principal, 6.150% 02/15/2041 DD 08/15/11
|
1,018,120
|
|||||||
NIELSEN CO LUXEMBOURG SAR 144A
|
135,000
|
principal, 5.500% 10/01/2021 DD 09/27/13
|
137,700
|
|||||||
NIELSEN FINANCE LLC / NIELSEN
|
1,211,000
|
principal, 4.500% 10/01/2020 DD 04/01/13
|
1,217,055
|
|||||||
NIPPON LIFE INSURANCE 144A
|
600,000
|
principal, VAR RT 10/16/2044 DD 10/16/14
|
626,628
|
|||||||
NORDSTROM INC
|
500,000
|
principal, 6.950% 03/15/2028 DD 03/16/98
|
658,879
|
|||||||
NORFOLK SOUTHERN CORP
|
1,000,000
|
principal, 5.750% 04/01/2018 DD 04/04/08
|
1,122,224
|
|||||||
NORFOLK SOUTHERN CORP
|
175,000
|
principal, 5.900% 06/15/2019 DD 06/01/09
|
200,862
|
|||||||
NORTEK INC
|
342,000
|
principal, 8.500% 04/15/2021 DD 10/15/11
|
365,940
|
|||||||
NORTHERN NATURAL GAS CO 144A
|
1,600,000
|
principal, 4.100% 09/15/2042 DD 08/27/12
|
1,657,470
|
|||||||
NORTHWESTERN MUTUAL LIFE 144A
|
100,000
|
principal, 6.063% 03/30/2040 DD 03/26/10
|
129,262
|
|||||||
NOVA CHEMICALS CORP 144A
|
177,000
|
principal, 5.250% 08/01/2023 DD 07/30/13 |
178,770
|
|||||||
NOVA CHEMICALS CORP 144A
|
409,000
|
principal, 5.000% 05/01/2025 DD 10/28/14 |
405,932
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
NOVELIS INC/GA
|
1,650,000
|
principal, 8.750% 12/15/2020 DD 12/17/10
|
$ |
1,749,000
|
||||||
NOVO BANCO SA
|
900,000
|
principal, 5.000% 05/14/2019
|
1,064,589
|
|||||||
NRG ENERGY INC
|
908,000
|
principal, 6.250% 07/15/2022 DD 07/15/14
|
928,430
|
|||||||
NRG YIELD OPERATING LLC 144A
|
482,000
|
principal, 5.375% 08/15/2024 DD 08/05/14
|
489,230
|
|||||||
NUANCE COMMUNICATIONS INC 144A
|
431,000
|
principal, 5.375% 08/15/2020 DD 08/14/12
|
432,077
|
|||||||
NUMERICABLE GROUP SA 144A
|
485,000
|
principal, 4.875% 05/15/2019 DD 05/08/14
|
480,756
|
|||||||
NUMERICABLE GROUP SA 144A
|
896,000
|
principal, 6.000% 05/15/2022 DD 05/08/14
|
900,928
|
|||||||
NUMERICABLE GROUP SA 144A
|
85,000
|
principal, 6.250% 05/15/2024 DD 05/08/14
|
85,637
|
|||||||
NXP BV / NXP FUNDING LLC 144A
|
780,000
|
principal, 5.750% 02/15/2021 DD 02/14/13
|
819,000
|
|||||||
OASIS PETROLEUM INC
|
1,691,000
|
principal, 6.875% 01/15/2023 DD 07/02/12
|
1,538,810
|
|||||||
OASIS PETROLEUM INC
|
425,000
|
principal, 6.875% 03/15/2022 DD 03/15/14
|
386,750
|
|||||||
OMNICARE INC
|
322,000
|
principal, 4.750% 12/01/2022 DD 11/21/14
|
326,025
|
|||||||
OMNICARE INC
|
136,000
|
principal, 5.000% 12/01/2024 DD 11/21/14
|
139,400
|
|||||||
OMX TIMBER FINANCE INVESTMENTS
|
1,000,000
|
principal, 5.420% 01/29/2020 DD 12/21/04
|
1,119,300
|
|||||||
ONEMAIN FIN HOLDINGS INC 144A
|
250,000
|
principal, 6.750% 12/15/2019 DD 12/11/14
|
255,000
|
|||||||
ONEMAIN FIN HOLDINGS INC 144A
|
1,427,000
|
principal, 7.250% 12/15/2021 DD 12/11/14
|
1,462,675
|
|||||||
ORACLE CORP
|
1,000,000
|
principal, 4.500% 07/08/2044 DD 07/08/14
|
1,086,175
|
|||||||
OSHKOSH CORP
|
665,000
|
principal, 8.500% 03/01/2020 DD 03/03/10
|
696,587
|
|||||||
OWENS-BROCKWAY 144A
|
1,175,000
|
principal, 5.000% 01/15/2022 DD 12/03/14
|
1,198,500
|
|||||||
PACIFIC GAS & ELECTRIC CO
|
310,000
|
principal, 6.050% 03/01/2034 DD 03/23/04
|
394,662
|
|||||||
PACIFIC GAS & ELECTRIC CO
|
500,000
|
principal, 6.250% 03/01/2039 DD 03/06/09
|
653,169
|
|||||||
PACIFIC LIFE INSURANCE CO 144A
|
800,000
|
principal, 9.250% 06/15/2039 DD 06/19/09
|
1,258,402
|
|||||||
PACKAGING CORP OF AMERIC
|
200,000
|
principal, 3.650% 09/15/2024 DD 09/05/14
|
196,878
|
|||||||
PARIS LAS VEGAS HOLDING L 144A
|
575,000
|
principal, 8.000% 10/01/2020 DD 10/11/13
|
563,500
|
|||||||
PARKER DRILLING CO
|
1,310,000
|
principal, 6.750% 07/15/2022 DD 07/15/14
|
982,500
|
|||||||
PEABODY ENERGY CORP
|
614,000
|
principal, 6.250% 11/15/2021 DD 05/15/12
|
524,970
|
|||||||
PENN NATIONAL GAMING INC
|
465,000
|
principal, 5.875% 11/01/2021 DD 05/01/14
|
432,450
|
|||||||
PENSKE AUTOMOTIVE GROUP
|
185,000
|
principal, 5.375% 12/01/2024 DD 11/21/14
|
187,312
|
|||||||
PENSKE AUTOMOTIVE GROUP INC
|
396,000
|
principal, 5.750% 10/01/2022 DD 04/01/13
|
410,850
|
|||||||
PETROBRAS GLOBAL FINANCE
|
6,780,000
|
principal, 2.000% 05/20/2016 DD 05/20/13
|
6,475,917
|
|||||||
PETROBRAS GLOBAL FINANCE
|
1,150,000
|
principal, 6.250% 03/17/2024 DD 03/17/14
|
1,094,271
|
|||||||
PETROBRAS GLOBAL FINANCE BV
|
725,000
|
principal, 4.375% 05/20/2023 DD 05/20/13
|
623,558
|
|||||||
PETROBRAS INTERNATIONAL FINANC
|
2,550,000
|
principal, 5.375% 01/27/2021 DD 01/27/11
|
2,362,753
|
|||||||
PETROBRAS INTERNATIONAL FINANC
|
200,000
|
principal, 6.875% 01/20/2040 DD 10/30/09
|
185,114
|
|||||||
PETROLEOS MEXICANOS
|
1,600,000
|
principal, 3.125% 01/23/2019 DD 07/23/14
|
1,604,000
|
|||||||
PETROLEOS MEXICANOS
|
2,550,000
|
principal, 6.375% 01/23/2045 DD 07/23/14
|
2,887,875
|
|||||||
PETROLEOS MEXICANOS
|
100,000
|
principal, 8.000% 05/03/2019 DD 05/03/09
|
118,250
|
|||||||
PETROLEOS MEXICANOS 144A
|
1,850,000
|
principal, 4.250% 01/15/2025 DD 10/15/14
|
1,837,975
|
|||||||
PETROLEOS MEXICANOS 144A
|
600,000
|
principal, 5.500% 06/27/2044 DD 06/27/14
|
612,000
|
|||||||
PETROLEOS MEXICANOS BD
|
1,000,000
|
principal, 6.500% 06/02/2041 DD 06/02/11
|
1,147,500
|
|||||||
PHI INC
|
1,095,000
|
principal, 5.250% 03/15/2019 DD 03/17/14
|
930,750
|
|||||||
PHILIP MORRIS INTERNATIONAL IN
|
100,000
|
principal, 6.375% 05/16/2038 DD 05/16/08
|
127,856
|
|||||||
PHYSIO-CONTROL INTERNATIO 144A
|
631,000
|
principal, 9.875% 01/15/2019 DD 01/30/12
|
668,860
|
|||||||
PINNACLE ENTERTAINMENT INC
|
1,250,000
|
principal, 8.750% 05/15/2020 DD 05/06/10
|
1,315,625
|
|||||||
PINNACLE ENTERTAINMENT INC
|
571,000
|
principal, 6.375% 08/01/2021 DD 02/01/14
|
588,130
|
|||||||
PINNACLE FOODS FINANCE LLC / P
|
203,000
|
principal, 4.875% 05/01/2021 DD 11/01/13
|
197,925
|
|||||||
PIONEER NATURAL RESOURCES CO
|
500,000
|
principal, 3.950% 07/15/2022 DD 06/26/12
|
494,899
|
|||||||
PLAINS ALL AMERICAN PIPELINE L
|
500,000
|
principal, 6.650% 01/15/2037 DD 07/15/07
|
621,323
|
|||||||
PLAINS ALL AMERICAN PIPELINE L
|
800,000
|
principal, 5.150% 06/01/2042 DD 03/22/12
|
836,363
|
|||||||
PLAINS ALL AMERICAN PIPELINE L
|
1,000,000
|
principal, 4.300% 01/31/2043 DD 12/10/12
|
941,602
|
|||||||
PLASTIPAK HOLDINGS INC 144A
|
779,000
|
principal, 6.500% 10/01/2021 DD 10/07/13
|
775,105
|
|||||||
PLAYA RESORTS HOLDING BV 144A
|
1,008,000
|
principal, 8.000% 08/15/2020 DD 08/09/13
|
1,005,480
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
POST HOLDINGS INC 144A
|
266,000
|
principal, 6.000% 12/15/2022 DD 06/02/14
|
$ |
249,375
|
||||||
PPG INDUSTRIES INC
|
200,000
|
principal, 5.500% 11/15/2040 DD 11/12/10
|
241,637
|
|||||||
PQ CORP 144A
|
2,475,000
|
principal, 8.750% 11/01/2018 DD 11/08/12
|
2,561,625
|
|||||||
PRECISION DRILLING CORP
|
1,200,000
|
principal, 6.500% 12/15/2021 DD 12/15/11
|
1,017,000
|
|||||||
PRIDE INTERNATIONAL INC
|
700,000
|
principal, 7.875% 08/15/2040 DD 08/06/10
|
844,748
|
|||||||
PRIVATE EXPORT FUNDING CORP
|
800,000
|
principal, 4.300% 12/15/2021 DD 11/24/09
|
889,936
|
|||||||
PROGRESS ENERGY INC
|
100,000
|
principal, 7.750% 03/01/2031 DD 02/22/01
|
144,815
|
|||||||
PROVIDENT COS INC
|
471,000
|
principal, 7.250% 03/15/2028 DD 03/16/98
|
597,548
|
|||||||
PROVIDENT COS INC
|
300,000
|
principal, 7.000% 07/15/2018 DD 07/14/98
|
342,883
|
|||||||
PROVIDENT FUNDING ASSOCIA 144A
|
127,000
|
principal, 10.125% 02/15/2019 DD 02/15/11
|
133,350
|
|||||||
PROVIDENT FUNDING ASSOCIA 144A
|
776,000
|
principal, 6.750% 06/15/2021 DD 06/04/13
|
752,720
|
|||||||
PUGET ENERGY INC
|
300,000
|
principal, 6.000% 09/01/2021 DD 06/03/11
|
350,954
|
|||||||
QEP RESOURCES INC
|
1,100,000
|
principal, 5.375% 10/01/2022 DD 03/01/12
|
1,039,500
|
|||||||
QTS REALTY TRUST INC 144A
|
334,000
|
principal, 5.875% 08/01/2022 DD 07/23/14
|
335,670
|
|||||||
QUEBECOR MEDIA INC
|
722,000
|
principal, 5.750% 01/15/2023 DD 12/15/12
|
738,245
|
|||||||
QVC INC
|
700,000
|
principal, 5.950% 03/15/2043 DD 03/18/13
|
734,917
|
|||||||
RANGE RESOURCES CORP
|
912,000
|
principal, 5.000% 03/15/2023 DD 03/18/13
|
912,000
|
|||||||
REED ELSEVIER CAPITAL INC
|
442,000
|
principal, 8.625% 01/15/2019 DD 01/16/09
|
540,624
|
|||||||
REED ELSEVIER CAPITAL INC
|
2,393,000
|
principal, 3.125% 10/15/2022 DD 04/15/13
|
2,368,649
|
|||||||
REGENCY ENERGY PART/FINA
|
170,000
|
principal, 5.000% 10/01/2022 DD 07/25/14
|
160,650
|
|||||||
REGENCY ENERGY PARTNERS LP / R
|
1,265,000
|
principal, 5.875% 03/01/2022 DD 02/10/14
|
1,261,837
|
|||||||
REGENCY ENERGY PARTNERS LP / R
|
1,514,000
|
principal, 5.500% 04/15/2023 DD 10/02/12
|
1,461,010
|
|||||||
RENT-A-CENTER INC/TX
|
1,250,000
|
principal, 4.750% 05/01/2021 DD 11/01/13
|
1,075,000
|
|||||||
REXEL SA 144A
|
850,000
|
principal, 6.125% 12/15/2019 DD 03/28/12
|
875,500
|
|||||||
REYNOLDS AMERICAN INC
|
500,000
|
principal, 6.150% 09/15/2043 DD 09/17/13
|
579,835
|
|||||||
REYNOLDS GROUP ISSUER INC / RE
|
530,000
|
principal, 5.750% 10/15/2020 DD 09/28/12
|
543,250
|
|||||||
REYNOLDS GROUP ISSUER INC / RE
|
4,316,000
|
principal, STEP 02/15/2021 DD 02/15/12
|
4,504,824
|
|||||||
REYNOLDS GROUP ISSUER INC / RE
|
1,644,000
|
principal, VAR RT 02/15/2021 DD 02/15/12
|
1,685,100
|
|||||||
RIO OIL FINANCE TRUST 144A
|
4,500,000
|
principal, 6.250% 07/06/2024 DD 06/20/14
|
4,303,485
|
|||||||
RIO OIL FINANCE TRUST 144A
|
3,950,000
|
principal, 6.750% 01/06/2027 DD 11/21/14
|
3,772,250
|
|||||||
RIO TINTO FINANCE USA PLC
|
1,050,000
|
principal, 1.375% 06/17/2016 DD 06/19/13
|
1,054,627
|
|||||||
RITE AID CORP
|
460,000
|
principal, 6.750% 06/15/2021 DD 07/02/13
|
474,950
|
|||||||
ROCHE HOLDING INC 144A
|
500,000
|
principal, 4.000% 11/28/2044 DD 11/28/14
|
526,635
|
|||||||
ROCKIES EXPRESS PIPELINE 144A
|
500,000
|
principal, 6.875% 04/15/2040 DD 03/22/10
|
532,500
|
|||||||
ROYAL BANK OF SCOTLAND GROUP P
|
1,725,000
|
principal, 6.000% 12/19/2023 DD 12/19/13
|
1,867,137
|
|||||||
ROYAL BANK OF SCOTLAND GROUP P
|
2,800,000
|
principal, 6.125% 12/15/2022 DD 12/04/12
|
3,047,537
|
|||||||
ROYAL BANK OF SCOTLAND PLC/THE
|
200,000
|
principal, VAR RT 03/16/2022
|
227,283
|
|||||||
ROYAL BANK OF SCOTLAND PLC/THE
|
4,220,000
|
principal, 4.375% 03/16/2016 DD 03/16/11
|
4,362,902
|
|||||||
ROYAL BK SCOTLND GRP PLC
|
902,000
|
principal, 5.125% 05/28/2024 DD 05/28/14
|
917,506
|
|||||||
ROYAL CARIBBEAN CRUISES LTD
|
1,075,000
|
principal, 5.250% 11/15/2022 DD 11/07/12
|
1,128,750
|
|||||||
RSP PERMIAN INC 144A
|
230,000
|
principal, 6.625% 10/01/2022 DD 09/26/14
|
213,900
|
|||||||
SALIX PHARMACEUTICALS LTD 144A
|
204,000
|
principal, 6.000% 01/15/2021 DD 12/27/13
|
208,080
|
|||||||
SALLY HOLDINGS LLC / SALLY CAP
|
430,000
|
principal, 5.750% 06/01/2022 DD 05/18/12
|
450,425
|
|||||||
SAMSON INVESTMENT CO
|
1,125,000
|
principal, VAR RT 02/15/2020 DD 08/15/14
|
466,172
|
|||||||
SANCHEZ ENERGY CORP 144A
|
1,110,000
|
principal, 6.125% 01/15/2023 DD 06/27/14
|
932,400
|
|||||||
SBA COMMUNICATIONS CORP
|
160,000
|
principal, 5.625% 10/01/2019 DD 04/01/13
|
163,600
|
|||||||
SBA COMMUNICATIONS CORP 144A
|
246,000
|
principal, 4.875% 07/15/2022 DD 07/01/14
|
236,775
|
|||||||
SBA TELECOMMUNICATIONS INC
|
1,844,000
|
principal, 5.750% 07/15/2020 DD 01/15/13
|
1,876,823
|
|||||||
SCHAEFFLER FINANCE BV 144A
|
364,000
|
principal, 4.250% 05/15/2021 DD 05/14/14
|
354,900
|
|||||||
SCHAEFFLER FINANCE BV 144A
|
1,556,000
|
principal, 4.750% 05/15/2021 DD 04/29/13
|
1,556,000
|
|||||||
SCHAEFFLER FINANCE BV 144A
|
395,000
|
principal, 6.250% 11/15/2019 DD 10/28/14
|
406,850
|
|||||||
SCHAEFFLER HOLDING FINANC 144A
|
630,000
|
principal, 6.875% 08/15/2018 DD 07/24/13
|
656,775
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
SCIENTIFIC GAMES INTL INC 144A
|
1,678,000
|
principal, 10.000% 12/01/2022 DD 11/21/14
|
$ |
1,537,468
|
||||||
SCIENTIFIC GAMES INTL INC 144A
|
1,991,000
|
principal, 7.000% 01/01/2022 DD 11/21/14
|
2,015,888
|
|||||||
SEALED AIR CORP 144A
|
1,250,000
|
principal, 5.250% 04/01/2023 DD 03/21/13
|
1,275,000
|
|||||||
SEALED AIR CORP 144A
|
805,000
|
principal, 8.375% 09/15/2021 DD 10/03/11
|
899,588
|
|||||||
SENSATA TECHNOLOGIES BV 144A
|
1,275,000
|
principal, 4.875% 10/15/2023 DD 04/17/13
|
1,268,625
|
|||||||
SERTA SIMMONS HOLDINGS LL 144A
|
836,000
|
principal, 8.125% 10/01/2020 DD 10/01/12
|
884,070
|
|||||||
SERVICE CORP INTERNATIONAL/US
|
825,000
|
principal, 4.500% 11/15/2020 DD 11/08/12
|
810,563
|
|||||||
SHEA HOMES LP / SHEA HOMES FUN
|
900,000
|
principal, 8.625% 05/15/2019 DD 11/15/11
|
945,000
|
|||||||
SHELL INTERNATIONAL FINANCE BV
|
5,000,000
|
principal, 1.125% 08/21/2017 DD 08/21/12
|
4,991,495
|
|||||||
SHELL INTERNATIONAL FINANCE BV
|
100,000
|
principal, 5.500% 03/25/2040 DD 03/25/10
|
121,771
|
|||||||
SHELL INTERNATIONAL FINANCE BV
|
400,000
|
principal, 3.625% 08/21/2042 DD 08/21/12
|
380,474
|
|||||||
SIGNODE INDUSTRIAL GROUP 144A
|
785,000
|
principal, 6.375% 05/01/2022 DD 04/29/14
|
765,375
|
|||||||
SILVER II BORROWER / SILV 144A
|
803,000
|
principal, 7.750% 12/15/2020 DD 12/13/12
|
758,835
|
|||||||
SLC STUDENT LOAN TRUST 201 1 A
|
417,213
|
principal, VAR RT 11/25/2042 DD 07/06/10
|
421,846
|
|||||||
SLM CORP
|
4,100,000
|
principal, 4.625% 09/25/2017 DD 09/12/12
|
4,161,500
|
|||||||
SLM CORP
|
1,325,000
|
principal, 8.450% 06/15/2018 DD 06/18/08
|
1,477,375
|
|||||||
SLM CORP
|
1,475,000
|
principal, 6.000% 01/25/2017 DD 01/27/12
|
1,545,063
|
|||||||
SLM CORP
|
650,000
|
principal, 4.625% 09/25/2017 DD 09/12/12
|
659,750
|
|||||||
SLM CORP
|
576,000
|
principal, 6.125% 03/25/2024 DD 03/27/14
|
565,920
|
|||||||
SLM PRIVATE EDUCATI C A2B 144A
|
403,000
|
principal, VAR RT 10/15/2031 DD 09/26/13
|
410,355
|
|||||||
SLM PRIVATE EDUCATIO A 1A 144A
|
760,556
|
principal, VAR RT 05/16/2044 DD 03/11/10
|
787,052
|
|||||||
SLM PRIVATE EDUCATIO A 2A 144A
|
981,438
|
principal, VAR RT 05/16/2044 DD 03/11/10
|
1,038,282
|
|||||||
SLM PRIVATE EDUCATIO B A2 144A
|
3,369,000
|
principal, 3.480% 10/15/2030 DD 04/12/12
|
3,500,027
|
|||||||
SLM STUDENT LOAN 11-C A2A 144A
|
335,000
|
principal, VAR RT 10/17/2044 DD 11/29/11
|
361,203
|
|||||||
SLM STUDENT LOAN TR A A2B 144A
|
901,000
|
principal, VAR RT 01/15/2026 DD 03/06/14
|
909,985
|
|||||||
SLM STUDENT LOAN TR E A2B 144A
|
713,000
|
principal, VAR RT 06/15/2045 DD 10/18/12
|
733,580
|
|||||||
SLM STUDENT LOAN TRUST 2 6 A5B
|
305,771
|
principal, VAR RT 07/27/2026 DD 07/27/05
|
308,048
|
|||||||
SLM STUDENT LOAN TRUST 20 2 A2
|
187,380
|
principal, VAR RT 07/25/2017 DD 02/22/07
|
187,082
|
|||||||
SLM STUDENT LOAN TRUST 20 3 A4
|
256,598
|
principal, VAR RT 07/25/2019 DD 03/09/06
|
256,170
|
|||||||
SLM STUDENT LOAN TRUST 20 6 A4
|
87,288
|
principal, VAR RT 12/17/2018 DD 06/05/03
|
87,256
|
|||||||
SLM STUDENT LOAN TRUST 200 9 A
|
151,247
|
principal, VAR RT 04/25/2023 DD 08/28/08
|
155,339
|
|||||||
SLM STUDENT LOAN TRUST 201 1 A
|
900,940
|
principal, VAR RT 03/25/2025 DD 04/15/10
|
900,926
|
|||||||
SM ENERGY CO 144A
|
248,000
|
principal, 6.125% 11/15/2022 DD 11/17/14
|
233,120
|
|||||||
SMITHFIELD FOODS INC
|
965,000
|
principal, 6.625% 08/15/2022 DD 08/01/12
|
1,008,425
|
|||||||
SOLENIS 7/14 (USD) COV-LITE TL
|
143,640
|
principal, COV-LITE TL LIBOR + 325 bps 7/31/21
|
139,690
|
|||||||
SOUTHERN CALIFORNIA EDISON CO
|
130,000
|
principal, 5.625% 02/01/2036 DD 01/31/06
|
163,625
|
|||||||
SOUTHERN CALIFORNIA EDISON CO
|
100,000
|
principal, 5.550% 01/15/2037 DD 12/11/06
|
124,482
|
|||||||
SOUTHERN CO
|
4,800,000
|
principal, 2.150% 09/01/2019 DD 08/22/14
|
4,769,122
|
|||||||
SOUTHERN COPPER CORP
|
900,000
|
principal, 5.250% 11/08/2042 DD 11/08/12
|
804,011
|
|||||||
SOUTHWESTERN ENERGY CO
|
100,000
|
principal, 4.100% 03/15/2022 DD 09/15/12
|
98,139
|
|||||||
SPCM SA 144A
|
635,000
|
principal, 6.000% 01/15/2022 DD 10/02/13
|
660,400
|
|||||||
SPECTRUM BRANDS INC
|
1,729,000
|
principal, 6.750% 03/15/2020 DD 03/20/12
|
1,806,805
|
|||||||
SPRINGLEAF FINANCE CORP
|
1,183,000
|
principal, 6.000% 06/01/2020 DD 12/01/13
|
1,171,170
|
|||||||
SPRINGLEAF FINANCE CORP
|
345,000
|
principal, 6.900% 12/15/2017 DD 12/17/07
|
367,425
|
|||||||
SPRINGLEAF FINANCE CORP
|
1,745,000
|
principal, 7.750% 10/01/2021 DD 09/24/13
|
1,954,400
|
|||||||
SPRINGLEAF FINANCE CORP
|
280,000
|
principal, 8.250% 10/01/2023 DD 09/24/13
|
313,600
|
|||||||
SPRINGS INDS INC
|
475,000
|
principal, 6.250% 06/01/2021 DD 06/04/13
|
472,625
|
|||||||
SPRINT CORP
|
364,000
|
principal, 7.125% 06/15/2024 DD 06/15/14
|
338,520
|
|||||||
SPRINT CORP
|
593,000
|
principal, 7.250% 09/15/2021 DD 09/15/14
|
587,811
|
|||||||
SPRINT CORP
|
2,593,000
|
principal, 7.875% 09/15/2023 DD 09/15/14
|
2,559,810
|
|||||||
SPRINT NEXTEL CORP
|
1,775,000
|
principal, 6.000% 12/01/2016 DD 11/20/06
|
1,856,694
|
|||||||
SPRINT NEXTEL CORP
|
4,822,000
|
principal, 6.000% 11/15/2022 DD 11/14/12
|
4,436,240
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
SPRINT NEXTEL CORP 144A
|
2,005,000
|
principal, 7.000% 03/01/2020 DD 03/01/12
|
$ |
2,165,400
|
||||||
STANDARD PACIFIC CORP
|
620,000
|
principal, 5.875% 11/15/2024 DD 11/06/14
|
620,000
|
|||||||
STANDARD PACIFIC CORP
|
300,000
|
principal, 6.250% 12/15/2021 DD 08/06/13
|
307,500
|
|||||||
STANDARD PACIFIC CORP
|
330,000
|
principal, 8.375% 01/15/2021 DD 12/22/10
|
373,725
|
|||||||
STATOIL ASA
|
500,000
|
principal, 4.250% 11/23/2041 DD 11/23/11
|
512,496
|
|||||||
STENA AB 144A
|
1,200,000
|
principal, 7.000% 02/01/2024 DD 01/23/14
|
1,098,000
|
|||||||
STONE STREET TRUST 144A
|
1,500,000
|
principal, 5.902% 12/15/2015 DD 12/15/10
|
1,561,443
|
|||||||
SUBURBAN PROPANE PARTNRS
|
1,085,000
|
principal, 5.500% 06/01/2024 DD 05/27/14
|
1,047,025
|
|||||||
SUNGARD DATA SYSTEMS INC
|
1,050,000
|
principal, 7.625% 11/15/2020 DD 11/16/10
|
1,113,000
|
|||||||
SUNGARD DATA SYSTEMS INC
|
600,000
|
principal, 6.625% 11/01/2019 DD 05/01/13
|
606,000
|
|||||||
SWIFT ENERGY CO
|
745,000
|
principal, 7.875% 03/01/2022 DD 03/01/12
|
385,538
|
|||||||
SYNOVUS FINANCIAL CORP
|
817,000
|
principal, 7.875% 02/15/2019 DD 02/13/12
|
908,913
|
|||||||
TARGA RES PARTNERS LP FINANCE
|
296,000
|
principal, 4.250% 11/15/2023 DD 05/14/13
|
269,360
|
|||||||
TARGA RESOURCES PARTNERS 144A
|
292,000
|
principal, 4.125% 11/15/2019 DD 10/28/14
|
281,050
|
|||||||
TARGA RESOURCES PARTNERS LP /
|
1,400,000
|
principal, 6.875% 02/01/2021 DD 02/02/11
|
1,431,500
|
|||||||
TARGA RESOURCES PARTNERS LP /
|
28,000
|
principal, 5.250% 05/01/2023 DD 10/25/12
|
27,020
|
|||||||
TAYLOR MORRISON COMM/MON 144A
|
397,000
|
principal, 5.625% 03/01/2024 DD 03/05/14
|
383,105
|
|||||||
TAYLOR MORRISON COMMUNITI 144A
|
450,000
|
principal, 5.250% 04/15/2021 DD 04/16/13
|
443,250
|
|||||||
TEACHERS INSUR & ANNUITY 144A
|
600,000
|
principal, 4.900% 09/15/2044 DD 09/18/14
|
668,609
|
|||||||
TEACHERS INSURANCE & ANNU 144A
|
100,000
|
principal, 6.850% 12/16/2039 DD 12/16/09
|
136,583
|
|||||||
TECK RESOURCES LTD
|
500,000
|
principal, 6.250% 07/15/2041 DD 07/05/11
|
460,930
|
|||||||
TELECOM ITALIA CAPITAL SA
|
6,200,000
|
principal, 6.999% 06/04/2018 DD 06/04/08
|
6,882,000
|
|||||||
TELECOM ITALIA CAPITAL SA
|
2,805,000
|
principal, 7.175% 06/18/2019 DD 06/18/09
|
3,211,725
|
|||||||
TELECOM ITALIA CAPITAL SA
|
1,325,000
|
principal, 7.200% 07/18/2036 DD 07/18/06
|
1,424,375
|
|||||||
TELECOM ITALIA CAPITAL SA
|
350,000
|
principal, 7.721% 06/04/2038 DD 06/04/08
|
390,250
|
|||||||
TELECOM ITALIA SPA 144A
|
553,000
|
principal, 5.303% 05/30/2024 DD 05/30/14
|
559,913
|
|||||||
TELEFLEX INC 144A
|
45,000
|
principal, 5.250% 06/15/2024 DD 05/21/14
|
45,000
|
|||||||
TELEFONICA EMISIONES SAU
|
300,000
|
principal, 7.045% 06/20/2036 DD 06/20/06
|
394,644
|
|||||||
TEMPUR SEALY INTERNATIONAL INC
|
462,000
|
principal, 6.875% 12/15/2020 DD 06/15/13
|
490,875
|
|||||||
TENET HEALTHCARE CORP
|
1,935,000
|
principal, 6.000% 10/01/2020 DD 09/27/13
|
2,077,861
|
|||||||
TENET HEALTHCARE CORP
|
990,000
|
principal, 4.500% 04/01/2021 DD 02/05/13
|
992,475
|
|||||||
TENET HEALTHCARE CORP
|
1,368,000
|
principal, 8.125% 04/01/2022 DD 09/27/13
|
1,528,740
|
|||||||
TENET HEALTHCARE CORP 144A
|
168,000
|
principal, 5.000% 03/01/2019 DD 03/10/14
|
168,210
|
|||||||
TENNECO INC
|
423,000
|
principal, 5.375% 12/15/2024 DD 12/05/14
|
433,575
|
|||||||
TEREX CORP
|
1,500,000
|
principal, 6.000% 05/15/2021 DD 11/26/12
|
1,530,000
|
|||||||
TESORO CORP
|
1,025,000
|
principal, 5.375% 10/01/2022 DD 09/27/12
|
1,037,812
|
|||||||
TESORO LOGISTICS LP / TESORO L
|
938,000
|
principal, 5.875% 10/01/2020 DD 04/01/13
|
940,345
|
|||||||
TESORO LOGISTICS LP/CORP 144A
|
150,000
|
principal, 5.500% 10/15/2019 DD 10/29/14
|
148,875
|
|||||||
TESORO LOGISTICS LP/CORP 144A
|
1,127,000
|
principal, 6.250% 10/15/2022 DD 10/29/14
|
1,124,182
|
|||||||
TIBCO SOFTWARE
|
601,000
|
principal, 6.500% 12/04/20
|
580,969
|
|||||||
TIME WARNER CABLE INC
|
475,000
|
principal, 4.000% 09/01/2021 DD 09/12/11
|
505,539
|
|||||||
TIME WARNER CABLE INC
|
500,000
|
principal, 5.500% 09/01/2041 DD 09/12/11
|
580,961
|
|||||||
TIME WARNER CABLE INC
|
600,000
|
principal, 5.875% 11/15/2040 DD 11/15/10
|
715,413
|
|||||||
TIME WARNER CABLE INC
|
200,000
|
principal, 6.550% 05/01/2037 DD 04/09/07
|
257,498
|
|||||||
TIME WARNER CABLE INC
|
5,425,000
|
principal, 6.750% 07/01/2018 DD 06/19/08
|
6,221,808
|
|||||||
TIME WARNER CABLE INC
|
3,525,000
|
principal, 8.250% 04/01/2019 DD 03/26/09
|
4,315,104
|
|||||||
TIME WARNER CABLE INC
|
825,000
|
principal, 8.750% 02/14/2019 DD 11/18/08
|
1,021,229
|
|||||||
TIME WARNER INC
|
3,550,000
|
principal, 7.625% 04/15/2031 DD 04/19/01
|
4,949,179
|
|||||||
TIME WARNER INC
|
725,000
|
principal, 7.700% 05/01/2032 DD 04/08/02
|
1,024,308
|
|||||||
TIME WARNER INC
|
200,000
|
principal, 4.900% 06/15/2042 DD 06/13/12
|
210,723
|
|||||||
TIME WARNER INC
|
900,000
|
principal, 5.375% 10/15/2041 DD 10/17/11
|
1,016,378
|
|||||||
TIME WARNER INC
|
1,200,000
|
principal, 6.100% 07/15/2040 DD 07/14/10
|
1,461,387
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
TIME WARNER INC
|
100,000
|
principal, 6.200% 03/15/2040 DD 03/11/10
|
$ |
121,741
|
||||||
TIME WARNER INC
|
100,000
|
principal, 6.250% 03/29/2041 DD 04/01/11
|
124,174
|
|||||||
T-MOBILE USA INC
|
588,000
|
principal, 6.000% 03/01/2023 DD 09/05/14
|
589,470
|
|||||||
T-MOBILE USA INC
|
1,220,000
|
principal, 6.125% 01/15/2022 DD 11/21/13
|
1,238,300
|
|||||||
T-MOBILE USA INC
|
1,547,000
|
principal, 6.375% 03/01/2025 DD 09/05/14
|
1,571,752
|
|||||||
T-MOBILE USA INC
|
320,000
|
principal, 6.500% 01/15/2024 DD 11/21/13
|
328,000
|
|||||||
T-MOBILE USA INC
|
500,000
|
principal, 6.542% 04/28/2020 DD 07/28/13
|
516,250
|
|||||||
T-MOBILE USA INC
|
904,000
|
principal, 6.625% 04/01/2023 DD 10/01/13
|
925,696
|
|||||||
T-MOBILE USA INC
|
553,000
|
principal, 6.633% 04/28/2021 DD 07/28/13
|
567,516
|
|||||||
T-MOBILE USA INC
|
193,000
|
principal, 6.731% 04/28/2022 DD 07/28/13
|
198,790
|
|||||||
TRANSCANADA PIPELINES LTD
|
200,000
|
principal, 7.250% 08/15/2038 DD 08/11/08
|
267,525
|
|||||||
TRANSCANADA PIPELINES LTD
|
100,000
|
principal, 7.625% 01/15/2039 DD 01/09/09
|
137,424
|
|||||||
TRANSCONTINENTAL GAS PIPE LINE
|
200,000
|
principal, 4.450% 08/01/2042 DD 07/13/12
|
187,163
|
|||||||
TRANSDIGM INC
|
57,000
|
principal, 5.500% 10/15/2020 DD 04/15/13
|
55,717
|
|||||||
TRANSDIGM INC
|
101,000
|
principal, 6.000% 07/15/2022 DD 06/04/14
|
100,747
|
|||||||
TRANSDIGM INC
|
1,224,000
|
principal, 6.500% 07/15/2024 DD 06/04/14
|
1,230,121
|
|||||||
TRANSDIGM INC
|
221,000
|
principal, 7.500% 07/15/2021 DD 07/01/13
|
235,365
|
|||||||
TRANSOCEAN INC
|
600,000
|
principal, 6.800% 03/15/2038 DD 12/11/07
|
514,144
|
|||||||
TRIUMPH GROUP INC
|
1,200,000
|
principal, 4.875% 04/01/2021 DD 02/26/13
|
1,185,000
|
|||||||
TRIUMPH GROUP INC
|
440,000
|
principal, 5.250% 06/01/2022 DD 06/03/14
|
438,900
|
|||||||
U.S. RENAL CARE 12/13 COV-LITE
|
386,469
|
principal, TL 12/13 cov-lite LIBOR +325 bps 07/03/19
|
379,223
|
|||||||
U.S. RENAL CARE 8/13 2ND LIEN
|
194,369
|
principal, COV-LITE TL LIBOR + 750 bps 01/03/20
|
192,668
|
|||||||
UDR INC
|
900,000
|
principal, 3.750% 07/01/2024 DD 06/26/14
|
906,054
|
|||||||
UNION PACIFIC CORP
|
700,000
|
principal, 4.163% 07/15/2022 DD 06/23/11
|
769,004
|
|||||||
UNION PACIFIC CORP
|
100,000
|
principal, 4.821% 02/01/2044 DD 08/21/13
|
114,170
|
|||||||
UNION PACIFIC RAILROAD CO 1999
|
155,617
|
principal, 7.600% 01/02/2020 DD 06/25/99
|
182,381
|
|||||||
UNION PACIFIC RAILROAD CO 2003
|
565,246
|
principal, 4.698% 01/02/2024 DD 05/14/03
|
615,969
|
|||||||
UNION PACIFIC RAILROAD CO 2005
|
220,000
|
principal, 5.082% 01/02/2029 DD 07/28/05
|
244,077
|
|||||||
UNION PACIFIC RAILROAD CO 2006
|
495,673
|
principal, 5.866% 07/02/2030 DD 07/27/06
|
590,314
|
|||||||
UNION PACIFIC RAILROAD CO 2007
|
1,891,264
|
principal, 6.176% 01/02/2031 DD 07/31/07
|
2,257,895
|
|||||||
UNITED RENTALS NORTH AMERICA I
|
144,000
|
principal, 5.750% 11/15/2024 DD 03/26/14
|
148,321
|
|||||||
UNITED RENTALS NORTH AMERICA I
|
247,000
|
principal, 6.125% 06/15/2023 DD 10/30/12
|
259,351
|
|||||||
UNITED RENTALS NORTH AMERICA I
|
1,431,000
|
principal, 7.375% 05/15/2020 DD 11/15/12
|
1,545,481
|
|||||||
UNITED RENTALS NORTH AMERICA I
|
1,590,000
|
principal, 7.625% 04/15/2022 DD 10/15/12
|
1,748,207
|
|||||||
UNITED STATES STEEL CORP
|
1,100,000
|
principal, 7.375% 04/01/2020 DD 03/19/10
|
1,155,000
|
|||||||
UNITEDHEALTH GROUP INC
|
4,346,000
|
principal, 1.625% 03/15/2019 DD 02/28/13
|
4,283,957
|
|||||||
UNITEDHEALTH GROUP INC
|
200,000
|
principal, 4.625% 11/15/2041 DD 11/10/11
|
215,278
|
|||||||
UNITYMEDIA HESSEN / NRW 144A
|
538,000
|
principal, 5.000% 01/15/2025 DD 12/17/14
|
539,346
|
|||||||
UNITYMEDIA HESSEN GMBH & 144A
|
361,000
|
principal, 5.500% 01/15/2023 DD 12/14/12
|
377,245
|
|||||||
UNITYMEDIA KABELBW GMBH 144A
|
606,000
|
principal, 6.125% 01/15/2025 DD 10/22/14
|
625,696
|
|||||||
UNIVERSAL HEALTH SVCS 144A
|
800,000
|
principal, 4.750% 08/01/2022 DD 08/07/14
|
800,000
|
|||||||
UNIVISION COMMUNICATIONS 144A
|
1,085,000
|
principal, 5.125% 05/15/2023 DD 05/21/13
|
1,095,850
|
|||||||
UNIVISION COMMUNICATIONS 144A
|
407,000
|
principal, 8.500% 05/15/2021 DD 11/23/10
|
433,456
|
|||||||
UNIVISION COMMUNICATIONS 144A
|
1,151,000
|
principal, 6.750% 09/15/2022 DD 08/29/12
|
1,231,570
|
|||||||
UNUM GROUP
|
191,000
|
principal, 6.750% 12/15/2028 DD 12/18/98
|
235,279
|
|||||||
UNUMPROVIDENT FINANCE CO PLC
|
63,000
|
principal, 6.850% 11/15/2015 DD 11/16/05
|
65,980
|
|||||||
US AIRWAYS 2013-1 CLASS B PASS
|
1,335,358
|
principal, 5.375% 05/15/2023 DD 04/24/13
|
1,358,726
|
|||||||
USG CORP 144A
|
1,350,000
|
principal, 7.875% 03/30/2020 DD 04/12/12
|
1,444,500
|
|||||||
USG CORP 144A
|
141,000
|
principal, 5.875% 11/01/2021 DD 10/31/13
|
142,410
|
|||||||
VALE OVERSEAS LTD
|
200,000
|
principal, 6.875% 11/10/2039 DD 11/10/09
|
213,014
|
|||||||
VALEANT PHARMACEUTICALS I 144A
|
1,184,000
|
principal, 5.625% 12/01/2021 DD 12/02/13
|
1,192,879
|
|||||||
VALEANT PHARMACEUTICALS I 144A
|
1,401,000
|
principal, 6.375% 10/15/2020 DD 10/04/12
|
1,464,045
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | ||||||||||
VERISIGN INC
|
329,000
|
principal, 4.625% 05/01/2023 DD 04/16/13
|
$ |
322,420
|
||||||
VERIZON COMMUNICATIONS
|
950,000
|
principal, 4.150% 03/15/2024 DD 03/17/14
|
983,472
|
|||||||
VERIZON COMMUNICATIONS
|
400,000
|
principal, 4.400% 11/01/2034 DD 10/29/14
|
397,592
|
|||||||
VERIZON COMMUNICATIONS IN 144A
|
2,676,000
|
principal, 4.862% 08/21/2046 DD 08/21/14
|
2,748,859
|
|||||||
VERIZON COMMUNICATIONS IN 144A
|
279,000
|
principal, 5.012% 08/21/2054 DD 08/21/14
|
288,639
|
|||||||
VERIZON COMMUNICATIONS INC
|
8,925,000
|
principal, 3.650% 09/14/2018 DD 09/18/13
|
9,431,288
|
|||||||
VERIZON COMMUNICATIONS INC
|
4,275,000
|
principal, 5.150% 09/15/2023 DD 09/18/13
|
4,720,596
|
|||||||
VERIZON COMMUNICATIONS INC
|
130,000
|
principal, 5.850% 09/15/2035 DD 09/13/05
|
152,771
|
|||||||
VERIZON COMMUNICATIONS INC
|
700,000
|
principal, 6.000% 04/01/2041 DD 03/28/11
|
825,042
|
|||||||
VERIZON COMMUNICATIONS INC
|
2,182,000
|
principal, 6.400% 09/15/2033 DD 09/18/13
|
2,687,750
|
|||||||
VERIZON COMMUNICATIONS INC
|
1,230,000
|
principal, 6.550% 09/15/2043 DD 09/18/13
|
1,575,813
|
|||||||
VIACOM INC
|
500,000
|
principal, 4.850% 12/15/2034 DD 12/10/14
|
511,683
|
|||||||
VIACOM INC
|
800,000
|
principal, 5.250% 04/01/2044 DD 03/11/14
|
845,986
|
|||||||
VIASAT INC
|
800,000
|
principal, 6.875% 06/15/2020 DD 06/15/12
|
832,000
|
|||||||
VIDEOTRON LTD
|
905,000
|
principal, 5.000% 07/15/2022 DD 07/15/12
|
920,837
|
|||||||
VIDEOTRON LTD 144A
|
135,000
|
principal, 5.375% 06/15/2024 DD 04/09/14
|
137,700
|
|||||||
VIRGIN MEDIA FINANCE PLC 144A
|
1,250,000
|
principal, 6.000% 10/15/2024 DD 10/07/14
|
1,307,812
|
|||||||
VIRGIN MEDIA SEC
|
1,577,000
|
principal, 5.375% 04/15/2021 DD 02/22/13
|
1,628,252
|
|||||||
VIRGINIA ELECTRIC AND POWER CO
|
240,000
|
principal, 6.000% 05/15/2037 DD 05/17/07
|
316,206
|
|||||||
VIRGOLINO DE OLIVEIRA FIN 144A
|
670,000
|
principal, 11.750% 02/09/2022 DD 02/09/12
|
13,400
|
|||||||
VODAFONE GROUP PLC
|
200,000
|
principal, 6.150% 02/27/2037 DD 02/27/07
|
241,326
|
|||||||
VPII ESCROW CORP 144A
|
1,810,000
|
principal, 7.500% 07/15/2021 DD 07/12/13
|
1,954,800
|
|||||||
VPII ESCROW CORP 144A
|
259,000
|
principal, 6.750% 08/15/2018 DD 07/12/13
|
275,516
|
|||||||
VULCAN MATERIALS CO
|
71,000
|
principal, 6.500% 12/01/2016 DD 06/14/11
|
75,615
|
|||||||
VULCAN MATERIALS CO
|
2,015,000
|
principal, 7.500% 06/15/2021 DD 06/14/11
|
2,347,475
|
|||||||
WACHOVIA BANK NA
|
300,000
|
principal, 5.850% 02/01/2037 DD 01/29/07
|
378,514
|
|||||||
WACHOVIA BANK NA
|
725,000
|
principal, 6.000% 11/15/2017 DD 11/21/07
|
812,662
|
|||||||
WACHOVIA CORP
|
2,350,000
|
principal, 5.750% 02/01/2018 DD 01/31/08
|
2,631,483
|
|||||||
WAL-MART STORES INC
|
600,000
|
principal, 4.300% 04/22/2044 DD 04/22/14
|
654,928
|
|||||||
WAL-MART STORES INC
|
900,000
|
principal, 5.625% 04/15/2041 DD 04/18/11
|
1,149,273
|
|||||||
WAL-MART STORES INC
|
3,700,000
|
principal, 5.800% 02/15/2018 DD 08/24/07
|
4,182,236
|
|||||||
WAL-MART STORES INC
|
200,000
|
principal, 6.200% 04/15/2038 DD 04/15/08
|
267,865
|
|||||||
WAL-MART STORES INC
|
400,000
|
principal, 6.500% 08/15/2037 DD 08/24/07
|
550,408
|
|||||||
WALT DISNEY CO/THE
|
5,400,000
|
principal, 1.100% 12/01/2017 DD 11/30/12
|
5,367,655
|
|||||||
WELLPOINT INC
|
800,000
|
principal, 4.625% 05/15/2042 DD 05/07/12
|
839,487
|
|||||||
WELLPOINT INC
|
5,000,000
|
principal, 5.875% 06/15/2017 DD 06/08/07
|
5,495,726
|
|||||||
WELLPOINT INC
|
1,830,000
|
principal, 7.000% 02/15/2019 DD 02/05/09
|
2,156,346
|
|||||||
WELLS FARGO & CO
|
1,100,000
|
principal, 4.650% 11/04/2044 DD 11/04/14
|
1,135,047
|
|||||||
WELLS FARGO & CO
|
2,000,000
|
principal, 5.625% 12/11/2017 DD 12/10/07
|
2,224,621
|
|||||||
WELLS FARGO COMMERC C1 A2 144A
|
100,000
|
principal, 4.393% 11/15/2043 DD 11/01/10
|
108,968
|
|||||||
WEYERHAEUSER CO
|
1,100,000
|
principal, 7.375% 03/15/2032 DD 09/15/02
|
1,464,484
|
|||||||
WEYERHAEUSER REAL ESTATE 144A
|
685,000
|
principal, 4.375% 06/15/2019 DD 06/13/14
|
675,581
|
|||||||
WEYERHAEUSER REAL ESTATE 144A
|
400,000
|
principal, 5.875% 06/15/2024 DD 06/13/14
|
400,000
|
|||||||
WHITEWAVE FOODS CO
|
546,000
|
principal, 5.375% 10/01/2022 DD 09/17/14
|
562,380
|
|||||||
WHITING PETROLEUM CORP
|
2,538,000
|
principal, 5.750% 03/15/2021 DD 09/12/13
|
2,353,994
|
|||||||
WILLIAMS COS INC/THE
|
495,000
|
principal, 7.500% 01/15/2031 DD 01/17/01
|
525,221
|
|||||||
WILLIAMS COS INC/THE
|
124,000
|
principal, VAR RT 03/15/2032 DD 03/15/03
|
144,716
|
|||||||
WILLIAMS PARTNERS LP
|
400,000
|
principal, 4.900% 01/15/2045 DD 06/27/14
|
374,626
|
|||||||
WIND ACQUISITION FIN SA 144A
|
829,000
|
principal, 4.750% 07/15/2020 DD 07/10/14
|
775,115
|
|||||||
WIND ACQUISITION FINANCE 144A
|
597,000
|
principal, 6.500% 04/30/2020 DD 04/29/13
|
610,432
|
|||||||
WIND ACQUISTION FIN SA
|
548,000
|
principal, 7.375% 04/23/2021 DD 04/23/14
|
517,202
|
|||||||
WINDSTREAM CORP
|
726,000
|
principal, 6.375% 08/01/2023 DD 01/23/13
|
678,811
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Corporate Debt (continued): | |||||||||||
WR GRACE & CO-CONN 144A
|
309,000
|
principal, 5.125% 10/01/2021 DD 09/16/14
|
$ |
316,726
|
|||||||
WR GRACE & CO-CONN 144A
|
224,000
|
principal, 5.625% 10/01/2024 DD 09/16/14
|
233,521
|
||||||||
WYETH LLC
|
100,000
|
principal, 5.950% 04/01/2037 DD 03/27/07
|
128,266
|
||||||||
WYETH LLC
|
500,000
|
principal, 6.500% 02/01/2034 DD 12/16/03
|
674,093
|
||||||||
WYNN LAS VEGAS LLC / WYNN LAS
|
2,195,000
|
principal, 5.375% 03/15/2022 DD 09/15/12
|
2,227,926
|
||||||||
XEROX CORP
|
5,600,000
|
principal, 2.950% 03/15/2017 DD 03/15/12
|
5,754,050
|
||||||||
XEROX CORP
|
1,475,000
|
principal, 4.500% 05/15/2021 DD 05/18/11
|
1,576,257
|
||||||||
XEROX CORP
|
1,225,000
|
principal, 6.350% 05/15/2018 DD 04/28/08
|
1,385,133
|
||||||||
XEROX CORP
|
1,500,000
|
principal, 6.750% 02/01/2017 DD 08/18/06
|
1,653,344
|
||||||||
ZEBRA TECHNOLOGIES CORP 144A
|
2,010,000
|
principal, 7.250% 10/15/2022 DD 10/15/14
|
2,110,501
|
||||||||
ZOETIS INC
|
4,500,000
|
principal, 1.875% 02/01/2018 DD 08/01/13
|
4,459,509
|
||||||||
Total Corporate Debt
|
$
|
1,061,455,029
|
U.S. Government Securities:
|
|||||||||||
DBUBS 2011-LC2 LC2A A1FL 144A
|
601,705
|
principal, VAR RT 07/12/2044 DD 06/28/11
|
$
|
614,471
|
|||||||
DBUBS 2011-LC2 MO LC2A A1 144A
|
1,081,064
|
principal, 3.527% 07/10/2044 DD 06/01/11
|
1,127,202
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
800,000
|
principal, MAT 01/09/2015
|
799,996
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
200,000
|
principal, MAT 01/14/2015
|
199,997
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
100,000
|
principal, MAT 01/21/2015
|
99,999
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
2,600,000
|
principal, MAT 01/28/2015
|
2,599,903
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
1,300,000
|
principal, MAT 02/06/2015
|
1,299,933
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
2,500,000
|
principal, MAT 02/12/2015
|
2,499,851
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
100,000
|
principal, MAT 02/20/2015
|
99,975
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
200,000
|
principal, MAT 03/11/2015
|
199,944
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
100,000
|
principal, MAT 03/25/2015
|
99,993
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
100,000
|
principal, MAT 03/27/2015
|
99,969
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
100,000
|
principal, MAT 04/01/2015
|
99,966
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
100,000
|
principal, MAT 04/17/2015
|
99,960
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
200,000
|
principal, MAT 04/29/2015
|
199,911
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
200,000
|
principal, MAT 05/06/2015
|
199,902
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
231,735
|
principal, MAT 08/18/2015 |
236,818
|
||||||||
FEDERAL HOME LN BK CONS DISC
|
800,000
|
principal, MAT 09/04/2015
|
798,621
|
||||||||
FEDERAL HOME LN MTG CORP
|
100,000
|
principal, 6.750% 03/15/2031 DD 10/25/00
|
150,343
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
4,100,000
|
principal, 0.000% 01/13/2015 DD 01/13/201
|
4,099,975
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
100,000
|
principal, 0.000% 02/19/2015 DD 02/19/201
|
99,949
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
200,000
|
principal, 0.000% 03/11/2015 DD 03/11/14
|
199,955
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
1,100,000
|
principal, 0.000% 03/12/2015 DD 03/12/201
|
1,099,755
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
500,000
|
principal, 0.000% 03/19/2015 DD 03/19/201
|
499,969
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
100,000
|
principal, 0.000% 04/09/2015 DD 04/09/201
|
99,967
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
2,600,000
|
principal, 0.000% 06/09/2015 DD 06/09/201
|
2,596,611
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
200,000
|
principal, MAT 01/28/2015
|
199,975
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
800,000
|
principal, MAT 04/23/2015
|
799,708
|
||||||||
FEDERAL HOME LN MTG CORP DISC
|
8,600,000
|
principal, MAT 04/27/2015
|
8,596,541
|
||||||||
FEDERAL HOME LN MTG CORP STRIP
|
2,200,000
|
principal, 0.000% 03/15/2031 DD 10/25/00
|
1,282,028
|
||||||||
FEDERAL NATL MTG ASSN
|
200,000
|
principal, 0.000% 06/01/2017 DD 01/29/99
|
195,073
|
||||||||
FEDERAL NATL MTG ASSN
|
1,600,000
|
principal, 0.000% 11/15/2030 DD 11/15/05
|
953,858
|
||||||||
FEDERAL NATL MTG ASSN
|
600,000
|
principal, 6.250% 05/15/2029 DD 05/15/99
|
835,952
|
||||||||
FEDERAL NATL MTG ASSN
|
3,900,000
|
principal, 6.625% 11/15/2030 DD 11/03/00
|
5,790,931
|
||||||||
FEDERAL NATL MTG ASSN
|
1,700,000
|
principal, 7.125% 01/15/2030 DD 01/15/00
|
2,591,048
|
||||||||
FEDERAL NATL MTG ASSN
|
500,000
|
principal, 7.250% 05/15/2030 DD 05/05/00
|
778,212
|
||||||||
FEDERAL NATL MTG ASSN
|
4,500,000
|
principal, 8.100% 08/12/2019 DD 08/10/89
|
5,770,557
|
||||||||
FEDERAL NATL MTG ASSN DISC
|
300,000
|
principal, 0.000% 02/11/2015 DD 02/18/14
|
299,893
|
||||||||
FEDERAL NATL MTG ASSN DISC
|
9,300,000
|
principal, 0.000% 03/04/2015 DD 03/10/201
|
9,295,999
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FEDERAL NATL MTG ASSN DISC
|
600,000
|
principal, MAT 02/17/2015
|
$ |
599,981
|
|||||||
FEDERAL NATL MTG ASSN DISC
|
46,000,000
|
principal, MAT 03/16/2015
|
45,989,388
|
||||||||
FEDERAL NATL MTG ASSN DISC NT
|
12,900,000
|
principal, MAT 05/01/2015
|
12,894,467
|
||||||||
FEDERAL NATL MTG ASSN STRIP
|
3,300,000
|
principal, 0.000% 03/23/2028 DD 03/23/98
|
2,156,527
|
||||||||
FEDERAL NATL MTG ASSN STRIP
|
200,000
|
principal, 0.000% 11/15/2030 DD 11/03/00
|
118,570
|
||||||||
FHLMC POOL #1B-8370
|
1,664,209
|
principal, VAR RT 06/01/2041 DD 06/01/11
|
1,768,527
|
||||||||
FHLMC POOL #1B-8498
|
1,052,084
|
principal, VAR RT 08/01/2041 DD 07/01/11
|
1,113,524
|
||||||||
FHLMC POOL #1B-8558
|
1,433,354
|
principal, VAR RT 08/01/2041 DD 08/01/11
|
1,514,284
|
||||||||
FHLMC POOL #1B-8830
|
605,052
|
principal, VAR RT 10/01/2041 DD 09/01/11
|
640,747
|
||||||||
FHLMC POOL #1K-0164
|
2,101,901
|
principal, VAR RT 04/01/2038 DD 03/01/08
|
2,229,569
|
||||||||
FHLMC POOL #1Q-0092
|
213,677
|
principal, VAR RT 03/01/2036 DD 07/01/06
|
227,620
|
||||||||
FHLMC POOL #1Q-0378
|
1,049,022
|
principal, VAR RT 12/01/2037 DD 12/01/07
|
1,118,221
|
||||||||
FHLMC POOL #1Q-0379
|
955,323
|
principal, VAR RT 11/01/2037 DD 12/01/07
|
1,007,412
|
||||||||
FHLMC POOL #1Q-1101
|
5,150,849
|
principal, VAR RT 08/01/2037 DD 11/01/10
|
5,547,223
|
||||||||
FHLMC POOL #1Q-1542
|
95,549
|
principal, VAR RT 10/01/2038 DD 07/01/13
|
101,881
|
||||||||
FHLMC POOL #2B-0065
|
60,411
|
principal, VAR RT 12/01/2041 DD 12/01/11
|
62,438
|
||||||||
FHLMC POOL #2B-1430
|
2,656,877
|
principal, VAR RT 06/01/2043 DD 05/01/13
|
2,726,892
|
||||||||
FHLMC POOL #2B-2278
|
1,385,480
|
principal, VAR RT 02/01/2044 DD 02/01/14
|
1,436,845
|
||||||||
FHLMC POOL #2B-3012
|
1,716,860
|
principal, VAR RT 08/01/2044 DD 08/01/14
|
1,770,646
|
||||||||
FHLMC POOL #2B-3311
|
2,964,415
|
principal, VAR RT 10/01/2044 DD 10/01/14
|
3,068,761
|
||||||||
FHLMC POOL #2B-3546
|
1,486,000
|
principal, VAR RT 12/01/2044 DD 12/01/14
|
1,543,042
|
||||||||
FHLMC POOL #78-3058
|
183,519
|
principal, VAR RT 03/01/2035 DD 03/01/05
|
196,162
|
||||||||
FHLMC POOL #84-8642
|
1,725,823
|
principal, VAR RT 07/01/2038 DD 11/01/11
|
1,832,488
|
||||||||
FHLMC POOL #84-9201
|
1,430,810
|
principal, VAR RT 12/01/2043 DD 12/01/13
|
1,493,502
|
||||||||
FHLMC POOL #84-9254
|
2,583,265
|
principal, VAR RT 01/01/2042 DD 02/01/14
|
2,675,025
|
||||||||
FHLMC POOL #84-9434
|
1,919,362
|
principal, VAR RT 08/01/2044 DD 08/01/14
|
1,959,021
|
||||||||
FHLMC POOL #84-9465
|
1,158,867
|
principal, VAR RT 09/01/2043 DD 09/01/14
|
1,187,907
|
||||||||
FHLMC POOL #A6-4639
|
104,586
|
principal, 6.500% 08/01/2037 DD 08/01/07
|
120,823
|
||||||||
FHLMC POOL #B1-3067
|
256,691
|
principal, 4.500% 03/01/2019 DD 03/01/04
|
270,124
|
||||||||
FHLMC POOL #B1-5068
|
271,944
|
principal, 5.000% 06/01/2019 DD 06/01/04
|
288,507
|
||||||||
FHLMC POOL #B1-5759
|
880,966
|
principal, 4.500% 07/01/2019 DD 07/01/04
|
926,935
|
||||||||
FHLMC POOL #C0-1649
|
230,890
|
principal, 5.500% 10/01/2033 DD 10/01/03
|
259,883
|
||||||||
FHLMC POOL #C9-0830
|
109,523
|
principal, 4.500% 05/01/2024 DD 05/01/04
|
118,643
|
||||||||
FHLMC POOL #C9-0871
|
169,015
|
principal, 5.000% 12/01/2024 DD 12/01/04
|
186,345
|
||||||||
FHLMC POOL #C9-1335
|
609,680
|
principal, 4.000% 09/01/2030 DD 09/01/10
|
655,956
|
||||||||
FHLMC POOL #C9-1339
|
706,918
|
principal, 4.000% 10/01/2030 DD 10/01/10
|
760,586
|
||||||||
FHLMC POOL #C9-1495
|
433,623
|
principal, 4.500% 07/01/2032 DD 07/01/12
|
471,766
|
||||||||
FHLMC POOL #D9-8605
|
708,017
|
principal, 4.500% 04/01/2031 DD 04/01/11
|
771,628
|
||||||||
FHLMC POOL #D9-8717
|
268,274
|
principal, 4.000% 06/01/2031 DD 06/01/11
|
288,979
|
||||||||
FHLMC POOL #E0-0996
|
71,026
|
principal, 6.500% 07/01/2016 DD 07/01/01
|
73,127
|
||||||||
FHLMC POOL #E0-1508
|
1,190,354
|
principal, 4.500% 08/01/2018 DD 08/01/03
|
1,250,500
|
||||||||
FHLMC POOL #E0-1553
|
643,274
|
principal, 4.500% 10/01/2018 DD 10/01/03
|
675,704
|
||||||||
FHLMC POOL #E0-2429
|
55,188
|
principal, 6.000% 12/01/2022 DD 12/01/07
|
60,332
|
||||||||
FHLMC POOL #E0-2684
|
742,128
|
principal, 4.500% 03/01/2025 DD 03/01/10
|
790,120
|
||||||||
FHLMC POOL #E9-5004
|
640,555
|
principal, 5.000% 03/01/2018 DD 03/01/03
|
673,016
|
||||||||
FHLMC POOL #E9-7055
|
245,537
|
principal, 4.500% 06/01/2018 DD 06/01/03
|
257,829
|
||||||||
FHLMC POOL #E9-8683
|
61,804
|
principal, 4.500% 08/01/2018 DD 08/01/03
|
64,903
|
||||||||
FHLMC POOL #F8-9904
|
199,001
|
principal, 5.500% 12/01/2019 DD 11/01/05
|
210,479
|
||||||||
FHLMC POOL #G0-1665
|
160,187
|
principal, 5.500% 03/01/2034 DD 02/01/04
|
180,920
|
||||||||
FHLMC POOL #G0-1749
|
739,386
|
principal, 5.500% 01/01/2035 DD 12/01/04
|
834,997
|
||||||||
FHLMC POOL #G0-1767
|
390,510
|
principal, 6.500% 12/01/2032 DD 01/01/05
|
456,869
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FHLMC POOL #G0-1768
|
269,619
|
principal, 6.500% 12/01/2031 DD 01/01/05
|
$ |
314,406
|
|||||||
FHLMC POOL #G0-1770
|
295,467
|
principal, 5.500% 01/01/2035 DD 01/01/05
|
333,770
|
||||||||
FHLMC POOL #G0-1837
|
300,403
|
principal, 5.000% 07/01/2035 DD 06/01/05
|
332,621
|
||||||||
FHLMC POOL #G0-4710
|
467,420
|
principal, 6.000% 09/01/2038 DD 09/01/08
|
531,077
|
||||||||
FHLMC POOL #G0-4772
|
87,829
|
principal, 7.000% 08/01/2038 DD 10/01/08
|
97,607
|
||||||||
FHLMC POOL #G0-5080
|
177,186
|
principal, 4.500% 02/01/2037 DD 12/01/08
|
193,254
|
||||||||
FHLMC POOL #G0-6084
|
3,292,819
|
principal, 6.500% 12/01/2038 DD 11/01/10
|
3,741,184
|
||||||||
FHLMC POOL #G0-6778
|
342,225
|
principal, 4.500% 12/01/2037 DD 10/01/11
|
372,594
|
||||||||
FHLMC POOL #G0-7598
|
1,173,075
|
principal, 4.500% 11/01/2043 DD 01/01/14
|
1,299,054
|
||||||||
FHLMC POOL #G0-7612
|
928,789
|
principal, 4.500% 12/01/2043 DD 01/01/14
|
1,011,179
|
||||||||
FHLMC POOL #G0-7857
|
2,595,753
|
principal, 4.500% 04/01/2040 DD 11/01/14
|
2,818,022
|
||||||||
FHLMC POOL #G1-1516
|
95,083
|
principal, 6.000% 03/01/2018 DD 02/01/04
|
98,670
|
||||||||
FHLMC POOL #G1-1601
|
37,150
|
principal, 6.000% 02/01/2019 DD 08/01/04
|
38,307
|
||||||||
FHLMC POOL #G1-1683
|
78,297
|
principal, 5.000% 02/01/2020 DD 03/01/05
|
83,940
|
||||||||
FHLMC POOL #G1-1772
|
789,143
|
principal, 4.500% 09/01/2020 DD 09/01/05
|
841,557
|
||||||||
FHLMC POOL #G1-1896
|
561,041
|
principal, 4.500% 01/01/2021 DD 01/01/06
|
598,224
|
||||||||
FHLMC POOL #G1-1941
|
649,010
|
principal, 5.500% 04/01/2021 DD 03/01/06
|
707,001
|
||||||||
FHLMC POOL #G1-1987
|
380,300
|
principal, 5.000% 04/01/2021 DD 04/01/06
|
405,209
|
||||||||
FHLMC POOL #G1-2250
|
304,120
|
principal, 4.500% 06/01/2021 DD 07/01/06
|
324,353
|
||||||||
FHLMC POOL #G1-2322
|
855,737
|
principal, 5.500% 07/01/2021 DD 08/01/06
|
932,341
|
||||||||
FHLMC POOL #G1-2379
|
223,532
|
principal, 4.500% 06/01/2021 DD 09/01/06
|
238,386
|
||||||||
FHLMC POOL #G1-2446
|
317,441
|
principal, 4.500% 09/01/2020 DD 11/01/06
|
334,043
|
||||||||
FHLMC POOL #G1-2454
|
149,260
|
principal, 5.500% 11/01/2021 DD 11/01/06
|
162,576
|
||||||||
FHLMC POOL #G1-2471
|
848,910
|
principal, 4.500% 12/01/2018 DD 12/01/06
|
891,399
|
||||||||
FHLMC POOL #G1-2511
|
398,974
|
principal, 6.000% 02/01/2022 DD 01/01/07
|
436,295
|
||||||||
FHLMC POOL #G1-2578
|
1,198,422
|
principal, 5.500% 02/01/2022 DD 02/01/07
|
1,305,470
|
||||||||
FHLMC POOL #G1-2593
|
122,007
|
principal, 5.000% 09/01/2021 DD 02/01/07
|
131,097
|
||||||||
FHLMC POOL #G1-2602
|
396,405
|
principal, 6.500% 03/01/2022 DD 03/01/07
|
431,012
|
||||||||
FHLMC POOL #G1-2609
|
145,028
|
principal, 5.500% 04/01/2022 DD 03/01/07
|
158,078
|
||||||||
FHLMC POOL #G1-2610
|
59,146
|
principal, 6.000% 03/01/2022 DD 03/01/07
|
64,975
|
||||||||
FHLMC POOL #G1-2649
|
288,688
|
principal, 5.500% 05/01/2022 DD 04/01/07
|
314,461
|
||||||||
FHLMC POOL #G1-2679
|
179,688
|
principal, 5.500% 08/01/2020 DD 04/01/07
|
191,700
|
||||||||
FHLMC POOL #G1-2717
|
285,654
|
principal, 5.500% 11/01/2021 DD 06/01/07
|
303,788
|
||||||||
FHLMC POOL #G1-2834
|
425,049
|
principal, 6.000% 11/01/2022 DD 10/01/07
|
466,644
|
||||||||
FHLMC POOL #G1-2870
|
68,051
|
principal, 5.000% 12/01/2021 DD 10/01/07
|
73,120
|
||||||||
FHLMC POOL #G1-2875
|
380,100
|
principal, 6.500% 11/01/2022 DD 10/01/07
|
420,864
|
||||||||
FHLMC POOL #G1-2922
|
170,421
|
principal, 5.500% 12/01/2022 DD 11/01/07
|
186,122
|
||||||||
FHLMC POOL #G1-3102
|
281,851
|
principal, 4.500% 08/01/2022 DD 03/01/08
|
300,577
|
||||||||
FHLMC POOL #G1-3272
|
257,077
|
principal, 4.500% 08/01/2020 DD 09/01/08
|
270,507
|
||||||||
FHLMC POOL #G1-3346
|
420,331
|
principal, 6.000% 03/01/2023 DD 11/01/08
|
462,870
|
||||||||
FHLMC POOL #G1-3493
|
1,127,923
|
principal, 5.500% 01/01/2024 DD 03/01/09
|
1,225,039
|
||||||||
FHLMC POOL #G1-3621
|
221,546
|
principal, 6.500% 08/01/2021 DD 07/01/09
|
230,755
|
||||||||
FHLMC POOL #G1-3645
|
3,699,806
|
principal, 5.500% 05/01/2024 DD 08/01/09
|
4,039,952
|
||||||||
FHLMC POOL #G1-3774
|
52,781
|
principal, 5.500% 12/01/2020 DD 02/01/10
|
56,295
|
||||||||
FHLMC POOL #G1-3804
|
403,222
|
principal, 5.000% 03/01/2025 DD 04/01/10
|
442,207
|
||||||||
FHLMC POOL #G1-3857
|
1,224,463
|
principal, 5.500% 12/01/2024 DD 07/01/10
|
1,337,042
|
||||||||
FHLMC POOL #G1-3889
|
1,322,564
|
principal, 5.500% 12/01/2024 DD 08/01/10
|
1,443,852
|
||||||||
FHLMC POOL #G1-4010
|
374,954
|
principal, 5.500% 05/01/2022 DD 12/01/10
|
399,950
|
||||||||
FHLMC POOL #G1-4159
|
991,660
|
principal, 4.000% 06/01/2026 DD 05/01/11
|
1,061,692
|
||||||||
FHLMC POOL #G1-4160
|
253,384
|
principal, 6.000% 01/01/2024 DD 06/01/11
|
265,103
|
||||||||
FHLMC POOL #G1-4199
|
182,170
|
principal, 4.500% 07/01/2026 DD 07/01/11
|
196,839
|
||||||||
FHLMC POOL #G1-4204
|
1,158,919
|
principal, 4.500% 06/01/2026 DD 07/01/11
|
1,252,544
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FHLMC POOL #G1-4216
|
778,186
|
principal, 3.500% 07/01/2021 DD 08/01/11
|
$ |
822,685
|
|||||||
FHLMC POOL #G1-4223
|
1,675,879
|
principal, 5.500% 07/01/2024 DD 08/01/11
|
1,787,139
|
||||||||
FHLMC POOL #G1-4273
|
2,000,162
|
principal, 5.000% 07/01/2025 DD 10/01/11
|
2,175,541
|
||||||||
FHLMC POOL #G1-4361
|
667,410
|
principal, 5.000% 07/01/2025 DD 01/01/12
|
717,044
|
||||||||
FHLMC POOL #G1-4451
|
1,278,347
|
principal, 6.000% 01/01/2024 DD 04/01/12
|
1,341,718
|
||||||||
FHLMC POOL #G1-4550
|
3,212,718
|
principal, 4.500% 09/01/2026 DD 08/01/12
|
3,469,817
|
||||||||
FHLMC POOL #G1-4668
|
967,468
|
principal, 4.000% 12/01/2026 DD 01/01/13
|
1,030,041
|
||||||||
FHLMC POOL #G1-4680
|
18,491,885
|
principal, 4.000% 07/01/2026 DD 02/01/13
|
19,750,301
|
||||||||
FHLMC POOL #G1-4921
|
1,689,413
|
principal, 4.500% 08/01/2020 DD 11/01/13
|
1,777,015
|
||||||||
FHLMC POOL #G1-5113
|
2,879,080
|
principal, 4.500% 09/01/2026 DD 05/01/14
|
3,029,208
|
||||||||
FHLMC POOL #G1-5118
|
1,983,595
|
principal, 4.500% 09/01/2026 DD 06/01/14
|
2,082,938
|
||||||||
FHLMC POOL #G1-5123
|
2,708,396
|
principal, 3.000% 06/01/2024 DD 06/01/14
|
2,828,790
|
||||||||
FHLMC POOL #G1-8009
|
314,993
|
principal, 5.000% 09/01/2019 DD 09/01/04
|
334,237
|
||||||||
FHLMC POOL #G1-8064
|
412,081
|
principal, 4.500% 07/01/2020 DD 07/01/05
|
439,340
|
||||||||
FHLMC POOL #G1-8251
|
153,177
|
principal, 5.000% 05/01/2023 DD 05/01/08
|
166,690
|
||||||||
FHLMC POOL #G1-8306
|
532,629
|
principal, 4.500% 04/01/2024 DD 04/01/09
|
575,136
|
||||||||
FHLMC POOL #G1-8330
|
558,970
|
principal, 4.500% 11/01/2024 DD 11/01/09
|
603,624
|
||||||||
FHLMC POOL #G1-8519
|
1,230,717
|
principal, 3.500% 07/01/2029 DD 07/01/14
|
1,301,079
|
||||||||
FHLMC POOL #G3-0289
|
1,298,405
|
principal, 7.000% 09/01/2025 DD 05/01/06
|
1,443,634
|
||||||||
FHLMC POOL #G3-0689
|
3,750,307
|
principal, 4.500% 07/01/2032 DD 07/01/14
|
4,079,803
|
||||||||
FHLMC POOL #H0-9069
|
111,989
|
principal, 6.500% 09/01/2037 DD 09/01/07
|
119,828
|
||||||||
FHLMC POOL #H0-9070
|
96,052
|
principal, 6.500% 09/01/2037 DD 09/01/07
|
107,021
|
||||||||
FHLMC POOL #H0-9098
|
88,074
|
principal, 6.500% 10/01/2037 DD 10/01/07
|
103,225
|
||||||||
FHLMC POOL #H0-9197
|
210,804
|
principal, 6.500% 10/01/2038 DD 07/01/09
|
236,391
|
||||||||
FHLMC POOL #H0-9203
|
254,200
|
principal, 6.000% 06/01/2038 DD 01/01/10
|
280,630
|
||||||||
FHLMC POOL #H0-9207
|
631,842
|
principal, 6.500% 08/01/2038 DD 07/01/10
|
699,069
|
||||||||
FHLMC POOL #J0-3296
|
50,049
|
principal, 6.000% 09/01/2021 DD 09/01/06
|
54,269
|
||||||||
FHLMC POOL #J0-3686
|
32,753
|
principal, 6.000% 11/01/2016 DD 10/01/06
|
33,867
|
||||||||
FHLMC POOL #J0-5404
|
522,508
|
principal, 6.000% 08/01/2022 DD 08/01/07
|
563,596
|
||||||||
FHLMC POOL #J0-6466
|
739,008
|
principal, 6.000% 11/01/2022 DD 11/01/07
|
813,375
|
||||||||
FHLMC POOL #J1-0791
|
698,010
|
principal, 4.500% 09/01/2024 DD 09/01/09
|
754,132
|
||||||||
FHLMC POOL #J1-1371
|
712,314
|
principal, 4.500% 12/01/2024 DD 12/01/09
|
769,412
|
||||||||
FHLMC POOL #J1-1379
|
932,444
|
principal, 4.500% 12/01/2024 DD 12/01/09
|
1,007,535
|
||||||||
FHLMC POOL #J1-1722
|
235,228
|
principal, 4.500% 02/01/2025 DD 02/01/10
|
254,071
|
||||||||
FHLMC POOL #J1-1857
|
520,124
|
principal, 4.000% 04/01/2025 DD 03/01/10
|
555,365
|
||||||||
FHLMC POOL #J1-2606
|
473,046
|
principal, 4.500% 07/01/2025 DD 07/01/10
|
511,039
|
||||||||
FHLMC POOL #J1-3273
|
1,092,943
|
principal, 3.500% 10/01/2025 DD 10/01/10
|
1,155,428
|
||||||||
FHLMC POOL #J1-5784
|
181,095
|
principal, 4.500% 06/01/2026 DD 06/01/11
|
195,681
|
||||||||
FHLMC POOL #J1-6228
|
146,049
|
principal, 4.500% 08/01/2026 DD 07/01/11
|
157,780
|
||||||||
FHLMC POOL #J1-6394
|
911,430
|
principal, 3.500% 08/01/2021 DD 08/01/11
|
963,731
|
||||||||
FHLMC POOL #K9-1355
|
397,055
|
principal, 4.000% 04/01/2032 DD 11/01/13
|
427,060
|
||||||||
FHLMC POOL #P6-0959
|
1,778,128
|
principal, 4.500% 09/01/2020 DD 05/01/08
|
1,862,507
|
||||||||
FHLMC GOLD SFM
|
2,390,000
|
principal, 3.500% 01/01/2030 DD 01/01/15
|
|
2,522,944
|
|||||||
FHLMC MULTICLASS CTF 4283 EW
|
3,465,292
|
principal, VAR RT 12/15/2043 DD 12/01/13
|
3,815,307
|
||||||||
FHLMC MULTICLASS MT
|
4,885,048
|
principal, VAR RT 09/25/2022 DD 01/01/13
|
266,235
|
||||||||
FHLMC MULTICLASS MT
|
2,539,849
|
principal, VAR RT 11/25/2022 DD 05/01/13
|
167,165
|
||||||||
FHLMC MULTICLASS MTG
|
612,408
|
principal, 4.500% 08/15/2018 DD 08/01/03
|
640,246
|
||||||||
FHLMC MULTICLASS MTG 2209 B
|
630,512
|
principal, 7.500% 01/20/2030 DD 01/01/00
|
721,705
|
||||||||
FHLMC MULTICLASS MTG 2425 JH
|
9,514
|
principal, 6.000% 03/15/2017 DD 03/01/02
|
9,892
|
||||||||
FHLMC MULTICLASS MTG 2456 CJ
|
297,279
|
principal, 6.500% 06/15/2032 DD 06/01/02
|
333,248
|
||||||||
FHLMC MULTICLASS MTG 2525 BG
|
566,226
|
principal, 5.500% 07/15/2032 DD 11/01/02
|
574,845
|
||||||||
FHLMC MULTICLASS MTG 2543 LX
|
131,712
|
principal, 5.000% 12/15/2017 DD 12/01/02
|
137,623
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FHLMC MULTICLASS MTG 2557 GU
|
124,959
|
principal, 5.000% 01/15/2018 DD 01/01/03
|
$ |
130,789
|
|||||||
FHLMC MULTICLASS MTG 2574 JM
|
49,624
|
principal, 5.000% 12/15/2022 DD 02/01/03
|
50,339
|
||||||||
FHLMC MULTICLASS MTG 2582 CB
|
3,671,316
|
principal, 5.000% 03/15/2018 DD 03/01/03
|
3,846,647
|
||||||||
FHLMC MULTICLASS MTG 2590 WK
|
801,340
|
principal, 5.500% 03/15/2033 DD 03/01/03
|
887,512
|
||||||||
FHLMC MULTICLASS MTG 2626 TB
|
445,484
|
principal, 5.000% 06/15/2033 DD 06/01/03
|
480,718
|
||||||||
FHLMC MULTICLASS MTG 2628 AB
|
210,146
|
principal, 4.500% 06/15/2018 DD 06/01/03
|
219,175
|
||||||||
FHLMC MULTICLASS MTG 2633 PE
|
131,980
|
principal, 4.500% 06/15/2018 DD 06/01/03
|
137,677
|
||||||||
FHLMC MULTICLASS MTG 2638 MJ
|
711,943
|
principal, 5.000% 07/15/2033 DD 07/01/03
|
785,015
|
||||||||
FHLMC MULTICLASS MTG 2642 JE
|
368,761
|
principal, 5.000% 09/15/2032 DD 07/01/03
|
378,901
|
||||||||
FHLMC MULTICLASS MTG 2661 FG
|
77,548
|
principal, VAR RT 03/15/2017 DD 08/15/03
|
77,727
|
||||||||
FHLMC MULTICLASS MTG 2663 ME
|
2,472,711
|
principal, 5.000% 08/15/2018 DD 08/01/03
|
2,596,270
|
||||||||
FHLMC MULTICLASS MTG 2686 CL
|
199,615
|
principal, 3.500% 10/15/2018 DD 10/01/03
|
206,597
|
||||||||
FHLMC MULTICLASS MTG 2706 BL
|
126,496
|
principal, 3.500% 11/15/2018 DD 11/01/03
|
130,942
|
||||||||
FHLMC MULTICLASS MTG 2720 PC
|
44,839
|
principal, 5.000% 12/15/2023 DD 12/01/03
|
48,510
|
||||||||
FHLMC MULTICLASS MTG 2744 JH
|
594,000
|
principal, 5.000% 02/15/2034 DD 02/01/04
|
656,975
|
||||||||
FHLMC MULTICLASS MTG 2762 LY
|
358,419
|
principal, 5.000% 03/15/2034 DD 03/01/04
|
395,242
|
||||||||
FHLMC MULTICLASS MTG 2785 NC
|
1,456,051
|
principal, 4.000% 04/15/2019 DD 04/01/04
|
1,515,740
|
||||||||
FHLMC MULTICLASS MTG 2786 BC
|
859,215
|
principal, 4.000% 04/15/2019 DD 04/01/04
|
899,532
|
||||||||
FHLMC MULTICLASS MTG 2798 JL
|
305,143
|
principal, 4.500% 05/15/2019 DD 05/01/04
|
319,689
|
||||||||
FHLMC MULTICLASS MTG 2843 BC
|
418,965
|
principal, 5.000% 08/15/2019 DD 08/01/04
|
442,284
|
||||||||
FHLMC MULTICLASS MTG 2853 EY
|
542,974
|
principal, 4.500% 09/15/2024 DD 09/01/04
|
572,781
|
||||||||
FHLMC MULTICLASS MTG 2854 DL
|
554,462
|
principal, 4.000% 09/15/2019 DD 09/01/04
|
577,785
|
||||||||
FHLMC MULTICLASS MTG 2866 W
|
635,693
|
principal, 4.500% 08/15/2034 DD 10/01/04
|
669,811
|
||||||||
FHLMC MULTICLASS MTG 2892 AD
|
31,558
|
principal, 5.000% 11/15/2024 DD 11/01/04
|
34,602
|
||||||||
FHLMC MULTICLASS MTG 2935 AC
|
1,408,737
|
principal, 5.000% 02/15/2025 DD 02/01/05
|
1,525,382
|
||||||||
FHLMC MULTICLASS MTG 2988 TY
|
295,789
|
principal, 5.500% 06/15/2025 DD 06/01/05
|
326,660
|
||||||||
FHLMC MULTICLASS MTG 2999 ND
|
1,187,112
|
principal, 4.500% 07/15/2020 DD 07/01/05
|
1,249,618
|
||||||||
FHLMC MULTICLASS MTG 314 F2
|
2,287,277
|
principal, VAR RT 09/15/2043 DD 09/15/13
|
2,305,516
|
||||||||
FHLMC MULTICLASS MTG 317 F3
|
3,105,181
|
principal, VAR RT 11/15/2043 DD 11/15/13
|
3,138,953
|
||||||||
FHLMC MULTICLASS MTG 3204 NV
|
337,421
|
principal, 5.000% 08/15/2017 DD 08/01/06
|
342,309
|
||||||||
FHLMC MULTICLASS MTG 3208 FJ
|
2,055,552
|
principal, VAR RT 08/15/2036 DD 08/15/06
|
2,063,213
|
||||||||
FHLMC MULTICLASS MTG 3288 HB
|
1,268,755
|
principal, 4.500% 03/15/2022 DD 03/01/07
|
1,333,059
|
||||||||
FHLMC MULTICLASS MTG 3291 BY
|
2,554,455
|
principal, 4.500% 03/15/2022 DD 03/01/07
|
2,704,182
|
||||||||
FHLMC MULTICLASS MTG 3440 JA
|
80,497
|
principal, 4.500% 10/15/2017 DD 04/01/08
|
80,857
|
||||||||
FHLMC MULTICLASS MTG 3537 DL
|
1,173,331
|
principal, 6.000% 05/15/2039 DD 05/01/09
|
1,324,089
|
||||||||
FHLMC MULTICLASS MTG 3574 D
|
459,429
|
principal, 5.000% 09/15/2039 DD 09/01/09
|
502,039
|
||||||||
FHLMC MULTICLASS MTG 3613 HJ
|
2,262,727
|
principal, 5.500% 12/15/2039 DD 12/01/09
|
2,544,776
|
||||||||
FHLMC MULTICLASS MTG 3811 PA
|
1,710,791
|
principal, 5.000% 09/15/2040 DD 02/01/11
|
1,815,810
|
||||||||
FHLMC MULTICLASS MTG 3814 A
|
403,520
|
principal, 3.000% 10/15/2023 DD 02/01/11
|
416,169
|
||||||||
FHLMC MULTICLASS MTG 3842 YJ
|
402,202
|
principal, 3.500% 12/15/2023 DD 04/01/11
|
410,823
|
||||||||
FHLMC MULTICLASS MTG 3890 A
|
221,243
|
principal, 5.000% 11/15/2036 DD 07/01/11
|
228,117
|
||||||||
FHLMC MULTICLASS MTG 4031 AB
|
884,473
|
principal, 5.500% 06/15/2037 DD 04/01/12
|
994,464
|
||||||||
FHLMC MULTICLASS MTG 4240 FA
|
3,849,889
|
principal, VAR RT 08/15/2043 DD 08/15/13
|
3,857,724
|
||||||||
FHLMC MULTICLASS MTG 4310 FA
|
1,372,167
|
principal, VAR RT 02/15/2044 DD 02/15/14
|
1,384,991
|
||||||||
FHLMC MULTICLASS MTG 51 1A
|
331,197
|
principal, VAR RT 09/25/2043 DD 10/01/02
|
379,247
|
||||||||
FHLMC MULTICLASS MTG 54 3A
|
583,376
|
principal, 7.000% 02/25/2043 DD 02/01/03
|
710,827
|
||||||||
FHLMC MULTICLASS MTG K002 A1A2
|
330,000
|
principal, 4.879% 05/19/2017 DD 06/01/07
|
355,306
|
||||||||
FHLMC MULTICLASS MTG K013 A1
|
1,438,477
|
principal, 2.902% 08/25/2020 DD 05/01/11
|
1,485,960
|
||||||||
FHLMC MULTICLASS MTG K023 X1
|
9,871,092
|
principal, VAR RT 08/25/2022 DD 12/01/12
|
778,375
|
||||||||
FHLMC MULTICLASS MTG K503 X1IO
|
42,885,770
|
principal, VAR RT 08/25/2019 DD 10/01/14
|
931,522
|
||||||||
FHLMC MULTICLASS MTG K701 A2
|
2,250,000
|
principal, VAR RT 11/25/2017 DD 03/01/11
|
2,392,400
|
||||||||
FHLMC MULTICLASS MTG KF01 A
|
795,700
|
principal, VAR RT 04/25/2019 DD 10/25/12
|
796,078
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | ||||||||||
FNMA POOL #0190129
|
312,475
|
principal, 6.000% 11/01/2023 DD 11/01/93
|
$ |
358,206
|
||||||
FNMA POOL #0254688
|
264,317
|
principal, 5.500% 03/01/2023 DD 02/01/03
|
295,356
|
|||||||
FNMA POOL #0254693
|
603,105
|
principal, 5.500% 04/01/2033 DD 03/01/03
|
679,673
|
|||||||
FNMA POOL #0254767
|
2,011,160
|
principal, 5.500% 06/01/2033 DD 05/01/03
|
2,266,854
|
|||||||
FNMA POOL #0254799
|
1,033,053
|
principal, 5.000% 07/01/2023 DD 06/01/03
|
1,140,524
|
|||||||
FNMA POOL #0254908
|
103,013
|
principal, 5.000% 09/01/2023 DD 08/01/03
|
113,729
|
|||||||
FNMA POOL #0254963
|
207,545
|
principal, 5.500% 10/01/2023 DD 09/01/03
|
231,927
|
|||||||
FNMA POOL #0254985
|
262,090
|
principal, 5.000% 11/01/2023 DD 10/01/03
|
289,356
|
|||||||
FNMA POOL #0254986
|
145,139
|
principal, 5.500% 11/01/2023 DD 10/01/03
|
162,190
|
|||||||
FNMA POOL #0255029
|
46,653
|
principal, 5.000% 12/01/2023 DD 11/01/03
|
51,507
|
|||||||
FNMA POOL #0255456
|
173,224
|
principal, 5.500% 10/01/2024 DD 09/01/04
|
193,566
|
|||||||
FNMA POOL #0255547
|
296,173
|
principal, 4.500% 01/01/2020 DD 12/01/04
|
313,290
|
|||||||
FNMA POOL #0255575
|
284,994
|
principal, 5.500% 01/01/2025 DD 12/01/04
|
318,548
|
|||||||
FNMA POOL #0255582
|
801,460
|
principal, 5.000% 01/01/2025 DD 12/01/04
|
884,838
|
|||||||
FNMA POOL #0255713
|
204,787
|
principal, 4.500% 04/01/2025 DD 03/01/05
|
222,236
|
|||||||
FNMA POOL #0255735
|
1,446,017
|
principal, 5.000% 06/01/2020 DD 05/01/05
|
1,553,356
|
|||||||
FNMA POOL #0255841
|
421,257
|
principal, 5.000% 09/01/2020 DD 08/01/05
|
452,588
|
|||||||
FNMA POOL #0256045
|
21,040
|
principal, 5.000% 12/01/2025 DD 11/01/05
|
23,229
|
|||||||
FNMA POOL #0256335
|
47,167
|
principal, 6.000% 07/01/2016 DD 06/01/06
|
48,555
|
|||||||
FNMA POOL #0256628
|
320,065
|
principal, 6.500% 02/01/2027 DD 01/01/07
|
367,346
|
|||||||
FNMA POOL #0256653
|
252,067
|
principal, 6.500% 03/01/2027 DD 02/01/07
|
288,670
|
|||||||
FNMA POOL #0256928
|
227,227
|
principal, 6.000% 10/01/2027 DD 09/01/07
|
257,613
|
|||||||
FNMA POOL #0256937
|
47,866
|
principal, 6.500% 10/01/2037 DD 09/01/07
|
51,936
|
|||||||
FNMA POOL #0256939
|
218,982
|
principal, 7.000% 10/01/2037 DD 09/01/07
|
249,792
|
|||||||
FNMA POOL #0257007
|
837,317
|
principal, 6.000% 12/01/2027 DD 11/01/07
|
948,308
|
|||||||
FNMA POOL #0257295
|
139,421
|
principal, 6.000% 07/01/2028 DD 06/01/08
|
158,537
|
|||||||
FNMA POOL #0257422
|
197,531
|
principal, 6.000% 10/01/2028 DD 09/01/08
|
224,492
|
|||||||
FNMA POOL #0357477
|
641,655
|
principal, 5.000% 01/01/2019 DD 01/01/04
|
687,115
|
|||||||
FNMA POOL #0357695
|
184,831
|
principal, 4.500% 01/01/2020 DD 01/01/05
|
195,493
|
|||||||
FNMA POOL #0466807
|
185,330
|
principal, 3.320% 01/01/2018 DD 01/01/11
|
190,608
|
|||||||
FNMA POOL #0535943
|
202,606
|
principal, 5.500% 12/01/2030 DD 04/01/01
|
227,042
|
|||||||
FNMA POOL #0545723
|
293,553
|
principal, 7.000% 04/01/2032 DD 05/01/02
|
332,433
|
|||||||
FNMA POOL #0545874
|
572,786
|
principal, 6.500% 08/01/2032 DD 08/01/02
|
652,303
|
|||||||
FNMA POOL #0555342
|
73,500
|
principal, 6.000% 11/01/2017 DD 03/01/03
|
76,512
|
|||||||
FNMA POOL #0555413
|
149,379
|
principal, 6.000% 03/01/2018 DD 04/01/03
|
156,133
|
|||||||
FNMA POOL #0555424
|
1,556,233
|
principal, 5.500% 05/01/2033 DD 04/01/03
|
1,754,213
|
|||||||
FNMA POOL #0555432
|
80,065
|
principal, 5.500% 05/01/2033 DD 04/01/03
|
90,227
|
|||||||
FNMA POOL #0555531
|
4,086,330
|
principal, 5.500% 06/01/2033 DD 05/01/03
|
4,606,103
|
|||||||
FNMA POOL #0555592
|
480,288
|
principal, 5.500% 07/01/2033 DD 06/01/03
|
541,335
|
|||||||
FNMA POOL #0679887
|
563,120
|
principal, 7.000% 08/01/2032 DD 12/01/02
|
660,056
|
|||||||
FNMA POOL #0689019
|
623,438
|
principal, VAR RT 05/01/2033 DD 05/01/03
|
668,521
|
|||||||
FNMA POOL #0724906
|
890,115
|
principal, 5.000% 07/01/2018 DD 06/01/03
|
905,866
|
|||||||
FNMA POOL #0725014
|
522,570
|
principal, 5.500% 12/01/2033 DD 11/01/03
|
592,909
|
|||||||
FNMA POOL #0725045
|
1,586,097
|
principal, 4.500% 11/01/2018 DD 12/01/03
|
1,667,444
|
|||||||
FNMA POOL #0725135
|
113,945
|
principal, 6.000% 05/01/2018 DD 12/01/03
|
118,093
|
|||||||
FNMA POOL #0725157
|
92,168
|
principal, 6.500% 09/01/2017 DD 01/01/04
|
96,465
|
|||||||
FNMA POOL #0725160
|
85,474
|
principal, 6.500% 04/01/2018 DD 01/01/04
|
88,634
|
|||||||
FNMA POOL #0725162
|
2,207,900
|
principal, 6.000% 02/01/2034 DD 01/01/04
|
2,523,013
|
|||||||
FNMA POOL #0725180
|
183,575
|
principal, 7.000% 09/01/2028 DD 01/01/04
|
203,262
|
|||||||
FNMA POOL #0725194
|
61,075
|
principal, 6.000% 12/01/2018 DD 01/01/04
|
63,500
|
|||||||
FNMA POOL #0725205
|
2,064,899
|
principal, 5.000% 03/01/2034 DD 02/01/04
|
2,287,449
|
|||||||
FNMA POOL #0725352
|
1,109,863
|
principal, 4.500% 04/01/2019 DD 03/01/04
|
1,169,214
|
|||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FNMA POOL #0725425
|
840,159
|
principal, 5.500% 04/01/2034 DD 04/01/04
|
$ |
946,270
|
|||||||
FNMA POOL #0725678
|
108,317
|
principal, 6.000% 02/01/2019 DD 07/01/04
|
112,456
|
||||||||
FNMA POOL #0725946
|
575,454
|
principal, 5.500% 11/01/2034 DD 10/01/04
|
647,210
|
||||||||
FNMA POOL #0725993
|
110,061
|
principal, 6.000% 09/01/2019 DD 10/01/04
|
114,713
|
||||||||
FNMA POOL #0733533
|
1,820,560
|
principal, 4.500% 08/01/2033 DD 08/01/03
|
1,984,140
|
||||||||
FNMA POOL #0734741
|
87,626
|
principal, 4.000% 10/01/2018 DD 10/01/03
|
92,881
|
||||||||
FNMA POOL #0735415
|
237,159
|
principal, 6.500% 12/01/2032 DD 03/01/05
|
274,465
|
||||||||
FNMA POOL #0735439
|
121,243
|
principal, 6.000% 09/01/2019 DD 03/01/05
|
126,971
|
||||||||
FNMA POOL #0735646
|
1,624,112
|
principal, 4.500% 07/01/2020 DD 06/01/05
|
1,718,923
|
||||||||
FNMA POOL #0735715
|
1,009,845
|
principal, 5.500% 05/01/2035 DD 07/01/05
|
1,138,313
|
||||||||
FNMA POOL #0735841
|
125,129
|
principal, 4.500% 11/01/2019 DD 08/01/05
|
131,808
|
||||||||
FNMA POOL #0735989
|
341,003
|
principal, 5.500% 02/01/2035 DD 10/01/05
|
384,236
|
||||||||
FNMA POOL #0745017
|
330,879
|
principal, 4.500% 07/01/2020 DD 10/01/05
|
348,544
|
||||||||
FNMA POOL #0745018
|
175,371
|
principal, 4.000% 09/01/2020 DD 10/01/05
|
185,861
|
||||||||
FNMA POOL #0745096
|
194,123
|
principal, 5.500% 11/01/2034 DD 11/01/05
|
218,793
|
||||||||
FNMA POOL #0745393
|
144,436
|
principal, 4.500% 09/01/2020 DD 02/01/06
|
152,149
|
||||||||
FNMA POOL #0745453
|
85,397
|
principal, 5.500% 03/01/2021 DD 03/01/06
|
93,401
|
||||||||
FNMA POOL #0745454
|
180,469
|
principal, 4.000% 12/01/2020 DD 03/01/06
|
191,258
|
||||||||
FNMA POOL #0745596
|
163,821
|
principal, 6.500% 04/01/2021 DD 05/01/06
|
174,714
|
||||||||
FNMA POOL #0745629
|
1,371,680
|
principal, 5.160% 01/01/2018 DD 06/01/06
|
1,431,973
|
||||||||
FNMA POOL #0745751
|
697,924
|
principal, 5.500% 09/01/2035 DD 07/01/06
|
785,080
|
||||||||
FNMA POOL #0745986
|
434,586
|
principal, 5.500% 06/01/2020 DD 10/01/06
|
459,569
|
||||||||
FNMA POOL #0761402
|
627,369
|
principal, 4.500% 05/01/2019 DD 05/01/04
|
663,611
|
||||||||
FNMA POOL #0770118
|
260,527
|
principal, 4.500% 04/01/2019 DD 03/01/04
|
274,268
|
||||||||
FNMA POOL #0773515
|
213,797
|
principal, 5.000% 09/01/2019 DD 09/01/04
|
228,983
|
||||||||
FNMA POOL #0806697
|
439,456
|
principal, VAR RT 01/01/2035 DD 12/01/04
|
471,601
|
||||||||
FNMA POOL #0832100
|
470,257
|
principal, VAR RT 07/01/2035 DD 07/01/05
|
503,473
|
||||||||
FNMA POOL #0852931
|
255,819
|
principal, 4.500% 04/01/2021 DD 04/01/06
|
270,811
|
||||||||
FNMA POOL #0879112
|
67,742
|
principal, 5.000% 05/01/2021 DD 05/01/06
|
73,070
|
||||||||
FNMA POOL #0888017
|
510,368
|
principal, 6.000% 11/01/2021 DD 11/01/06
|
558,891
|
||||||||
FNMA POOL #0888079
|
341,053
|
principal, 6.500% 10/01/2026 DD 12/01/06
|
388,399
|
||||||||
FNMA POOL #0888303
|
74,665
|
principal, 4.000% 03/01/2022 DD 03/01/07
|
79,069
|
||||||||
FNMA POOL #0888366
|
240,315
|
principal, 7.000% 04/01/2037 DD 04/01/07
|
269,926
|
||||||||
FNMA POOL #0888367
|
2,939,172
|
principal, 7.000% 03/01/2037 DD 04/01/07
|
3,459,710
|
||||||||
FNMA POOL #0888369
|
111,539
|
principal, 7.000% 03/01/2037 DD 04/01/07
|
124,776
|
||||||||
FNMA POOL #0888381
|
431,802
|
principal, 5.505% 04/01/2017 DD 04/01/07
|
468,852
|
||||||||
FNMA POOL #0888410
|
441,178
|
principal, 6.500% 04/01/2022 DD 05/01/07
|
480,035
|
||||||||
FNMA POOL #0888436
|
261,746
|
principal, 5.000% 12/01/2021 DD 05/01/07
|
282,361
|
||||||||
FNMA POOL #0888450
|
307,857
|
principal, 5.500% 08/01/2035 DD 05/01/07
|
347,006
|
||||||||
FNMA POOL #0888564
|
676,822
|
principal, 5.000% 10/01/2021 DD 07/01/07
|
730,080
|
||||||||
FNMA POOL #0888631
|
655,009
|
principal, 6.000% 08/01/2022 DD 08/01/07
|
717,384
|
||||||||
FNMA POOL #0888673
|
196,440
|
principal, 6.000% 04/01/2035 DD 08/01/07
|
224,799
|
||||||||
FNMA POOL #0888736
|
325,991
|
principal, 6.000% 10/01/2037 DD 09/01/07
|
358,210
|
||||||||
FNMA POOL #0888878
|
337,014
|
principal, 6.500% 10/01/2022 DD 11/01/07
|
366,541
|
||||||||
FNMA POOL #0888956
|
287,367
|
principal, 6.000% 03/01/2036 DD 12/01/07
|
329,539
|
||||||||
FNMA POOL #0888996
|
693,073
|
principal, 5.500% 09/01/2036 DD 12/01/07
|
779,903
|
||||||||
FNMA POOL #0889157
|
152,874
|
principal, 6.000% 02/01/2028 DD 02/01/08
|
173,379
|
||||||||
FNMA POOL #0889342
|
186,510
|
principal, 5.000% 03/01/2023 DD 03/01/08
|
201,241
|
||||||||
FNMA POOL #0889531
|
208,200
|
principal, 4.500% 05/01/2022 DD 05/01/08
|
220,303
|
||||||||
FNMA POOL #0889604
|
367,958
|
principal, 5.500% 12/01/2034 DD 05/01/08
|
414,251
|
||||||||
FNMA POOL #0889717
|
174,278
|
principal, 5.500% 12/01/2021 DD 06/01/08
|
191,436
|
||||||||
FNMA POOL #0889784
|
170,362
|
principal, 6.500% 07/01/2038 DD 07/01/08
|
198,706
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FNMA POOL #0889855
|
182,525
|
principal, 5.500% 11/01/2033 DD 08/01/08
|
$ |
205,687
|
|||||||
FNMA POOL #0889907
|
186,350
|
principal, 4.500% 10/01/2020 DD 09/01/08
|
197,237
|
||||||||
FNMA POOL #0889929
|
434,624
|
principal, 5.500% 08/01/2037 DD 10/01/08
|
489,694
|
||||||||
FNMA POOL #0889984
|
241,433
|
principal, 6.500% 10/01/2038 DD 10/01/08
|
274,949
|
||||||||
FNMA POOL #0890134
|
285,456
|
principal, 4.000% 03/01/2022 DD 07/01/09
|
302,567
|
||||||||
FNMA POOL #0890216
|
190,805
|
principal, 4.500% 07/01/2025 DD 08/01/10
|
206,212
|
||||||||
FNMA POOL #0890379
|
747,673
|
principal, 5.000% 12/01/2020 DD 10/01/11
|
802,958
|
||||||||
FNMA POOL #0893368
|
316,189
|
principal, 5.000% 12/01/2033 DD 09/01/06
|
350,285
|
||||||||
FNMA POOL #0897935
|
290,978
|
principal, 5.000% 08/01/2021 DD 09/01/06
|
313,866
|
||||||||
FNMA POOL #0901198
|
24,264
|
principal, 6.000% 09/01/2021 DD 09/01/06
|
26,457
|
||||||||
FNMA POOL #0907059
|
53,527
|
principal, 6.000% 08/01/2022 DD 08/01/07
|
58,849
|
||||||||
FNMA POOL #0936479
|
1,081,778
|
principal, 5.500% 07/01/2021 DD 05/01/07
|
1,182,414
|
||||||||
FNMA POOL #0936484
|
625,582
|
principal, 6.000% 09/01/2021 DD 05/01/07
|
679,495
|
||||||||
FNMA POOL #0990975
|
678,914
|
principal, 6.000% 09/01/2023 DD 09/01/08
|
748,834
|
||||||||
FNMA POOL #0995158
|
493,499
|
principal, 4.500% 12/01/2020 DD 11/01/08
|
522,301
|
||||||||
FNMA POOL #0995160
|
1,618,429
|
principal, 5.000% 09/01/2022 DD 11/01/08
|
1,706,668
|
||||||||
FNMA POOL #0995324
|
534,908
|
principal, 5.000% 12/01/2020 DD 12/01/08
|
576,975
|
||||||||
FNMA POOL #0995371
|
1,315,517
|
principal, 4.500% 03/01/2034 DD 01/01/09
|
1,439,453
|
||||||||
FNMA POOL #0995404
|
250,187
|
principal, 5.000% 03/01/2023 DD 01/01/09
|
269,804
|
||||||||
FNMA POOL #0995465
|
2,630,235
|
principal, 4.500% 12/01/2020 DD 01/01/09
|
2,783,487
|
||||||||
FNMA POOL #0995487
|
605,996
|
principal, 6.000% 08/01/2037 DD 02/01/09
|
692,658
|
||||||||
FNMA POOL #0995528
|
206,886
|
principal, 5.000% 12/01/2021 DD 02/01/09
|
223,946
|
||||||||
FNMA POOL #0995802
|
2,134,315
|
principal, 5.500% 12/01/2035 DD 05/01/09
|
2,396,750
|
||||||||
FNMA POOL #0995874
|
500,664
|
principal, 5.500% 11/01/2023 DD 06/01/09
|
546,407
|
||||||||
FNMA POOL #0995952
|
328,917
|
principal, 6.500% 02/01/2038 DD 07/01/09
|
395,049
|
||||||||
FNMA POOL #0AB1763
|
850,678
|
principal, 4.000% 11/01/2030 DD 10/01/10
|
916,320
|
||||||||
FNMA POOL #0AC1834
|
1,096,783
|
principal, 5.500% 09/01/2039 DD 08/01/09
|
1,260,406
|
||||||||
FNMA POOL #0AD0043
|
220,498
|
principal, 5.000% 05/01/2023 DD 08/01/09
|
239,380
|
||||||||
FNMA POOL #0AD0128
|
646,586
|
principal, 6.500% 10/01/2038 DD 08/01/09
|
736,348
|
||||||||
FNMA POOL #0AD0163
|
801,372
|
principal, 6.000% 11/01/2034 DD 09/01/09
|
915,077
|
||||||||
FNMA POOL #0AD0217
|
1,224,049
|
principal, 6.000% 08/01/2037 DD 09/01/09
|
1,398,182
|
||||||||
FNMA POOL #0AD0249
|
1,367,229
|
principal, 5.500% 04/01/2037 DD 09/01/09
|
1,541,206
|
||||||||
FNMA POOL #0AD0250
|
851,451
|
principal, 5.500% 04/01/2035 DD 09/01/09
|
959,650
|
||||||||
FNMA POOL #0AD0310
|
781,595
|
principal, 7.000% 12/01/2038 DD 10/01/09
|
869,424
|
||||||||
FNMA POOL #0AD0315
|
1,114,149
|
principal, 6.500% 08/01/2039 DD 10/01/09
|
1,268,820
|
||||||||
FNMA POOL #0AD0464
|
734,577
|
principal, 4.500% 10/01/2035 DD 11/01/09
|
803,889
|
||||||||
FNMA POOL #0AD0492
|
1,115,543
|
principal, 5.000% 02/01/2023 DD 12/01/09
|
1,202,704
|
||||||||
FNMA POOL #0AD0630
|
400,980
|
principal, 5.000% 07/01/2024 DD 12/01/09
|
434,862
|
||||||||
FNMA POOL #0AD0646
|
1,572,026
|
principal, 4.500% 03/01/2021 DD 12/01/09
|
1,663,797
|
||||||||
FNMA POOL #0AD0657
|
754,328
|
principal, 5.000% 06/01/2023 DD 12/01/09
|
813,930
|
||||||||
FNMA POOL #0AD5222
|
950,849
|
principal, 4.500% 05/01/2030 DD 06/01/10
|
1,038,014
|
||||||||
FNMA POOL #0AD6388
|
2,366,359
|
principal, 4.000% 05/01/2025 DD 05/01/10
|
2,528,406
|
||||||||
FNMA POOL #0AE0011
|
211,925
|
principal, 5.500% 09/01/2023 DD 05/01/10
|
232,861
|
||||||||
FNMA POOL #0AE0099
|
1,905,012
|
principal, 5.500% 10/01/2036 DD 06/01/10
|
2,147,116
|
||||||||
FNMA POOL #0AE0125
|
814,334
|
principal, 5.500% 08/01/2021 DD 06/01/10
|
877,196
|
||||||||
FNMA POOL #0AE0378
|
2,499,648
|
principal, 5.500% 05/01/2025 DD 09/01/10
|
2,644,056
|
||||||||
FNMA POOL #0AE0413
|
2,576,538
|
principal, 4.000% 10/01/2020 DD 09/01/10
|
2,730,241
|
||||||||
FNMA POOL #0AE0467
|
522,674
|
principal, 5.500% 03/01/2024 DD 10/01/10
|
574,402
|
||||||||
FNMA POOL #0AE0595
|
1,453,640
|
principal, 4.500% 03/01/2022 DD 11/01/10
|
1,531,280
|
||||||||
FNMA POOL #0AE0731
|
3,083,423
|
principal, 4.500% 05/01/2022 DD 12/01/10
|
3,247,877
|
||||||||
FNMA POOL #0AE3069
|
395,668
|
principal, 4.000% 09/01/2025 DD 09/01/10
|
424,180
|
||||||||
FNMA POOL #0AE3170
|
1,266,400
|
principal, 4.000% 12/01/2040 DD 12/01/10
|
1,353,168
|
||||||||
FNMA POOL #0AE7758
|
601,388
|
principal, 3.500% 11/01/2025 DD 11/01/10
|
636,152
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FNMA POOL #0AH0973
|
794,289
|
principal, 4.000% 12/01/2025 DD 12/01/10
|
$ |
849,047
|
|||||||
FNMA POOL #0AH5705
|
188,434
|
principal, 4.500% 02/01/2026 DD 02/01/11
|
203,802
|
||||||||
FNMA POOL #0AI1986
|
471,621
|
principal, 4.000% 05/01/2026 DD 04/01/11
|
503,908
|
||||||||
FNMA POOL #0AI8201
|
982,689
|
principal, 5.500% 08/01/2041 DD 08/01/11
|
1,122,753
|
||||||||
FNMA POOL #0AJ2137
|
723,121
|
principal, VAR RT 10/01/2043 DD 09/01/13
|
735,548
|
||||||||
FNMA POOL #0AJ4098
|
2,902,331
|
principal, 4.000% 10/01/2026 DD 10/01/11
|
3,108,749
|
||||||||
FNMA POOL #0AJ5318
|
29,045
|
principal, VAR RT 12/01/2041 DD 12/01/11
|
30,119
|
||||||||
FNMA POOL #0AJ7670
|
5,012,533
|
principal, 4.500% 12/01/2041 DD 12/01/11
|
5,448,142
|
||||||||
FNMA POOL #0AL0278
|
1,535,946
|
principal, 5.500% 01/01/2025 DD 05/01/11
|
1,687,481
|
||||||||
FNMA POOL #0AL0446
|
3,067,690
|
principal, 6.000% 05/01/2024 DD 06/01/11
|
3,370,261
|
||||||||
FNMA POOL #0AL0472
|
7,494,876
|
principal, 5.500% 01/01/2019 DD 06/01/11
|
7,927,385
|
||||||||
FNMA POOL #0AL1373
|
2,016,937
|
principal, 5.000% 09/01/2025 DD 01/01/12
|
2,187,838
|
||||||||
FNMA POOL #0AL1777
|
895,701
|
principal, VAR RT 04/01/2042 DD 04/01/12
|
932,867
|
||||||||
FNMA POOL #0AL1845
|
1,114,599
|
principal, VAR RT 06/01/2039 DD 05/01/12
|
1,186,749
|
||||||||
FNMA POOL #0AL2439
|
6,403,264
|
principal, 5.000% 06/01/2026 DD 09/01/12
|
6,967,119
|
||||||||
FNMA POOL #0AL3358
|
3,332,494
|
principal, 5.000% 04/01/2025 DD 04/01/13
|
3,613,963
|
||||||||
FNMA POOL #0AL3598
|
3,236,624
|
principal, 6.000% 07/01/2039 DD 05/01/13
|
3,694,928
|
||||||||
FNMA POOL #0AL3913
|
2,599,549
|
principal, 4.000% 06/01/2026 DD 08/01/13
|
2,793,640
|
||||||||
FNMA POOL #0AL4165
|
6,681,547
|
principal, 4.500% 01/01/2031 DD 10/01/13
|
7,289,784
|
||||||||
FNMA POOL #0AL4384
|
413,709
|
principal, VAR RT 06/01/2041 DD 10/01/13
|
439,195
|
||||||||
FNMA POOL #0AL4695
|
2,006,755
|
principal, 4.500% 10/01/2026 DD 01/01/14
|
2,168,474
|
||||||||
FNMA POOL #0AL4778
|
2,898,127
|
principal, 4.000% 10/01/2032 DD 02/01/14
|
3,120,100
|
||||||||
FNMA POOL #0AL4980
|
2,350,867
|
principal, VAR RT 02/01/2044 DD 02/01/14
|
2,436,343
|
||||||||
FNMA POOL #0AL4998
|
3,724,720
|
principal, 5.000% 06/01/2051 DD 03/01/14
|
4,047,241
|
||||||||
FNMA POOL #0AL5108
|
6,980,117
|
principal, VAR RT 04/01/2044 DD 03/01/14
|
7,206,255
|
||||||||
FNMA POOL #0AL5435
|
5,152,580
|
principal, 4.000% 03/01/2033 DD 06/01/14
|
5,553,876
|
||||||||
FNMA POOL #0AL5441
|
1,345,765
|
principal, 4.500% 09/01/2041 DD 06/01/14
|
1,476,657
|
||||||||
FNMA POOL #0AL5741
|
569,052
|
principal, 4.000% 07/01/2031 DD 09/01/14
|
612,080
|
||||||||
FNMA POOL #0AL5802
|
1,406,106
|
principal, 4.500% 12/01/2031 DD 10/01/14
|
1,525,912
|
||||||||
FNMA POOL #0AL5861
|
1,163,539
|
principal, 4.500% 01/01/2031 DD 10/01/14
|
1,269,524
|
||||||||
FNMA POOL #0AL5864
|
4,181,320
|
principal, 4.000% 03/01/2033 DD 10/01/14
|
4,508,165
|
||||||||
FNMA POOL #0AL5870
|
203,132
|
principal, 4.500% 06/01/2025 DD 10/01/14
|
219,605
|
||||||||
FNMA POOL #0AL5883
|
1,206,216
|
principal, 4.000% 08/01/2030 DD 10/01/14
|
1,298,642
|
||||||||
FNMA POOL #0AL5931
|
1,427,593
|
principal, 3.500% 09/01/2028 DD 10/01/14
|
1,510,115
|
||||||||
FNMA POOL #0AL5957
|
4,217,274
|
principal, 4.000% 05/01/2027 DD 11/01/14
|
4,511,053
|
||||||||
FNMA POOL #0AL5958
|
6,368,529
|
principal, 4.000% 03/01/2032 DD 11/01/14
|
6,870,416
|
||||||||
FNMA POOL #0AU6423
|
1,365,213
|
principal, 4.500% 10/01/2043 DD 10/01/13
|
1,484,929
|
||||||||
FNMA POOL #0AU9787
|
1,023,638
|
principal, VAR RT 10/01/2043 DD 09/01/13
|
1,049,954
|
||||||||
FNMA POOL #0AX5587
|
1,486,000
|
principal, VAR RT 12/01/2044 DD 12/01/14
|
1,543,633
|
||||||||
FNMA POOL #0AX5589
|
1,186,000
|
principal, VAR RT 01/01/2045 DD 12/01/14
|
1,227,453
|
||||||||
FNMA POOL #0MA0140
|
739,611
|
principal, 4.500% 08/01/2029 DD 07/01/09
|
802,629
|
||||||||
FNMA POOL #0MA0267
|
383,359
|
principal, 4.000% 12/01/2019 DD 11/01/09
|
406,133
|
||||||||
FNMA POOL #0MA0459
|
1,957,359
|
principal, 4.000% 07/01/2020 DD 06/01/10
|
2,073,886
|
||||||||
FNMA POOL #0MA0494
|
256,512
|
principal, 5.000% 08/01/2030 DD 07/01/10
|
284,396
|
||||||||
FNMA POOL #0MA0502
|
1,408,273
|
principal, 4.000% 08/01/2020 DD 07/01/10
|
1,492,225
|
||||||||
FNMA POOL #0MA0504
|
1,577,282
|
principal, 3.500% 08/01/2020 DD 07/01/10
|
1,668,133
|
||||||||
FNMA POOL #0MA0521
|
2,171,147
|
principal, 3.500% 09/01/2020 DD 08/01/10
|
2,296,048
|
||||||||
FNMA POOL #0MA0534
|
60,880
|
principal, 4.000% 10/01/2030 DD 09/01/10
|
65,572
|
||||||||
FNMA POOL #0MA0548
|
455,296
|
principal, 3.500% 10/01/2020 DD 09/01/10
|
481,541
|
||||||||
FNMA POOL #0MA0587
|
95,654
|
principal, 4.000% 12/01/2030 DD 11/01/10
|
103,041
|
||||||||
FNMA POOL #0MA0634
|
809,578
|
principal, 4.500% 01/01/2031 DD 12/01/10
|
884,067
|
||||||||
FNMA POOL #0MA0703
|
704,310
|
principal, 3.500% 04/01/2021 DD 03/01/11
|
744,968
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FNMA POOL #0MA0793
|
2,349,364
|
principal, 3.500% 07/01/2021 DD 06/01/11
|
$ |
2,485,306
|
|||||||
FNMA POOL #0MA0815
|
1,705,279
|
principal, 3.500% 08/01/2021 DD 07/01/11
|
1,804,000
|
||||||||
FNMA POOL #0MA0876
|
680,489
|
principal, 3.500% 10/01/2021 DD 09/01/11
|
719,918
|
||||||||
FNMA POOL #0MA0949
|
4,459,865
|
principal, 3.500% 01/01/2032 DD 12/01/11
|
4,705,248
|
||||||||
FNMA POOL #0MA1099
|
2,836,032
|
principal, 3.500% 06/01/2022 DD 05/01/12
|
3,000,612
|
||||||||
FNMA POOL #0MA1218
|
2,714,283
|
principal, 3.000% 10/01/2022 DD 09/01/12
|
2,832,973
|
||||||||
FNMA POOL #0MA1689
|
2,068,688
|
principal, 4.000% 12/01/2033 DD 11/01/13
|
2,228,248
|
||||||||
FNMA POOL #0MA1892
|
6,086,435
|
principal, 3.000% 05/01/2024 DD 04/01/14
|
6,364,493
|
||||||||
FNMA GTD REMIC P/T 01-66 Z
|
376,191
|
principal, 6.000% 11/25/2031 DD 10/01/01
|
405,539
|
||||||||
FNMA GTD REMIC P/T 01-T1 A1
|
399,339
|
principal, 7.500% 10/25/2040 DD 01/01/01
|
467,484
|
||||||||
FNMA GTD REMIC P/T 01-T10 A1
|
89,089
|
principal, 7.000% 12/25/2041 DD 10/01/01
|
103,925
|
||||||||
FNMA GTD REMIC P/T 01-T4 A1
|
17,214
|
principal, 7.500% 07/25/2041 DD 04/01/01
|
20,471
|
||||||||
FNMA GTD REMIC P/T 01-T5 A2
|
338,705
|
principal, VAR RT 06/19/2041 DD 05/01/01
|
383,369
|
||||||||
FNMA GTD REMIC P/T 02-11 QC
|
30,431
|
principal, 5.500% 03/25/2017 DD 02/01/02
|
31,028
|
||||||||
FNMA GTD REMIC P/T 02-11 UC
|
104,577
|
principal, 6.000% 03/25/2017 DD 02/01/02
|
108,563
|
||||||||
FNMA GTD REMIC P/T 02-62 ZE
|
170,664
|
principal, 5.500% 11/25/2017 DD 10/01/02
|
178,741
|
||||||||
FNMA GTD REMIC P/T 02-74 LE
|
41,655
|
principal, 5.000% 11/25/2017 DD 10/01/02
|
43,468
|
||||||||
FNMA GTD REMIC P/T 02-83 ME
|
1,154,061
|
principal, 5.000% 12/25/2017 DD 11/01/02
|
1,205,880
|
||||||||
FNMA GTD REMIC P/T 02-90 A1
|
499,771
|
principal, 6.500% 06/25/2042 DD 11/01/02
|
569,150
|
||||||||
FNMA GTD REMIC P/T 02-94 HM
|
179,165
|
principal, 4.500% 01/25/2018 DD 12/01/02
|
185,978
|
||||||||
FNMA GTD REMIC P/T 02-95 GQ
|
174,646
|
principal, 5.000% 01/25/2018 DD 12/01/02
|
182,758
|
||||||||
FNMA GTD REMIC P/T 02-T12 A3
|
775,342
|
principal, 7.500% 05/25/2042 DD 08/01/02
|
907,853
|
||||||||
FNMA GTD REMIC P/T 02-T16 A2
|
487,667
|
principal, 7.000% 07/25/2042 DD 10/01/02
|
581,186
|
||||||||
FNMA GTD REMIC P/T 02-T19 A1
|
104,681
|
principal, 6.500% 07/25/2042 DD 12/01/02
|
118,980
|
||||||||
FNMA GTD REMIC P/T 03-17 EQ
|
724,191
|
principal, 5.500% 03/25/2023 DD 02/01/03
|
789,428
|
||||||||
FNMA GTD REMIC P/T 03-18 GT
|
198,035
|
principal, 5.000% 03/25/2018 DD 02/01/03
|
207,255
|
||||||||
FNMA GTD REMIC P/T 03-35 ME
|
577,578
|
principal, 5.000% 05/25/2018 DD 04/01/03
|
606,088
|
||||||||
FNMA GTD REMIC P/T 03-35 TE
|
160,905
|
principal, 5.000% 05/25/2018 DD 04/01/03
|
168,789
|
||||||||
FNMA GTD REMIC P/T 03-75 GD
|
63,721
|
principal, 3.500% 08/25/2023 DD 07/01/03
|
66,236
|
||||||||
FNMA GTD REMIC P/T 03-91 GB
|
185,565
|
principal, 4.500% 09/25/2018 DD 08/01/03
|
193,786
|
||||||||
FNMA GTD REMIC P/T 03-W4 3A
|
270,236
|
principal, VAR RT 10/25/2042 DD 03/01/03
|
306,721
|
||||||||
FNMA GTD REMIC P/T 04-49 EB
|
218,882
|
principal, 5.000% 07/25/2024 DD 06/01/04
|
238,836
|
||||||||
FNMA GTD REMIC P/T 04-70 BD
|
559,269
|
principal, 4.500% 10/25/2019 DD 09/01/04
|
582,587
|
||||||||
FNMA GTD REMIC P/T 04-70 EB
|
254,532
|
principal, 5.000% 10/25/2024 DD 09/01/04
|
274,952
|
||||||||
FNMA GTD REMIC P/T 04-W11 1A2
|
2,042,502
|
principal, 6.500% 05/25/2044 DD 08/01/04
|
2,390,821
|
||||||||
FNMA GTD REMIC P/T 04-W2 2A2
|
30,657
|
principal, 7.000% 02/25/2044 DD 02/01/04
|
35,175
|
||||||||
FNMA GTD REMIC P/T 04-W2 5A
|
191,252
|
principal, 7.500% 03/25/2044 DD 03/01/04
|
218,616
|
||||||||
FNMA GTD REMIC P/T 04-W9 1A3
|
748,789
|
principal, 6.050% 02/25/2044 DD 06/01/04
|
838,715
|
||||||||
FNMA GTD REMIC P/T 05-14 BD
|
1,559,538
|
principal, 4.500% 03/25/2020 DD 02/01/05
|
1,632,082
|
||||||||
FNMA GTD REMIC P/T 05-21 FM
|
310,259
|
principal, VAR RT 03/25/2035 DD 02/25/05
|
311,665
|
||||||||
FNMA GTD REMIC P/T 05-67 HG
|
145,246
|
principal, 5.500% 01/25/2035 DD 07/01/05
|
154,809
|
||||||||
FNMA GTD REMIC P/T 05-W1 1A4
|
803,198
|
principal, 7.500% 10/25/2044 DD 02/01/05
|
958,012
|
||||||||
FNMA GTD REMIC P/T 05-W4 1A3
|
484,766
|
principal, 7.000% 08/25/2045 DD 12/01/05
|
564,601
|
||||||||
FNMA GTD REMIC P/T 07-1 NF
|
4,132,522
|
principal, VAR RT 02/25/2037 DD 01/25/07
|
4,142,216
|
||||||||
FNMA GTD REMIC P/T 07-114 A6
|
100,000
|
principal, VAR RT 10/27/2037 DD 11/30/07
|
98,543
|
||||||||
FNMA GTD REMIC P/T 07-50 DZ
|
216,647
|
principal, 5.500% 06/25/2037 DD 05/01/07
|
240,168
|
||||||||
FNMA GTD REMIC P/T 07-63 VZ
|
2,228,344
|
principal, 5.500% 07/25/2037 DD 06/01/07
|
2,470,874
|
||||||||
FNMA GTD REMIC P/T 08-15 EL
|
915,173
|
principal, 4.250% 06/25/2022 DD 02/01/08
|
923,207
|
||||||||
FNMA GTD REMIC P/T 08-20 AG
|
32,057
|
principal, 4.200% 07/25/2022 DD 02/01/08
|
32,438
|
||||||||
FNMA GTD REMIC P/T 08-24 DY
|
1,047,267
|
principal, 5.000% 04/25/2023 DD 03/01/08
|
1,100,268
|
||||||||
FNMA GTD REMIC P/T 08-32 PT
|
164,435
|
principal, 5.500% 04/25/2038 DD 03/01/08
|
179,459
|
||||||||
FNMA GTD REMIC P/T 08-51 CD
|
44,388
|
principal, 4.500% 11/25/2022 DD 05/01/08
|
45,017
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
FNMA GTD REMIC P/T 08-59 KB
|
1,527,451
|
principal, 4.500% 07/25/2023 DD 06/01/08
|
$ |
1,599,310
|
|||||||
FNMA GTD REMIC P/T 08-80 ME
|
23,044
|
principal, 5.000% 05/25/2032 DD 08/01/08
|
23,103
|
||||||||
FNMA GTD REMIC P/T 09-10 PB
|
977,715
|
principal, 4.000% 03/25/2039 DD 02/01/09
|
1,022,075
|
||||||||
FNMA GTD REMIC P/T 09-14 A
|
383,625
|
principal, 7.000% 06/25/2035 DD 02/01/09
|
443,242
|
||||||||
FNMA GTD REMIC P/T 09-19 ED
|
94,011
|
principal, 4.000% 10/25/2019 DD 03/01/09
|
96,679
|
||||||||
FNMA GTD REMIC P/T 09-52 AJ
|
695,871
|
principal, 4.000% 07/25/2024 DD 06/01/09
|
726,545
|
||||||||
FNMA GTD REMIC P/T 09-70 AL
|
536,921
|
principal, 5.000% 08/25/2019 DD 08/01/09
|
560,279
|
||||||||
FNMA GTD REMIC P/T 09-70 NK
|
76,173
|
principal, 4.500% 08/25/2019 DD 08/01/09
|
79,526
|
||||||||
FNMA GTD REMIC P/T 10-119 FK
|
356,129
|
principal, VAR RT 04/25/2040 DD 09/25/10
|
355,969
|
||||||||
FNMA GTD REMIC P/T 10-136 BA
|
8,258,908
|
principal, 3.500% 12/25/2030 DD 11/01/10
|
8,620,566
|
||||||||
FNMA GTD REMIC P/T 10-155 C
|
1,548,633
|
principal, 4.000% 05/25/2030 DD 12/01/10
|
1,609,042
|
||||||||
FNMA GTD REMIC P/T 10-17 DA
|
240,741
|
principal, 4.500% 06/25/2021 DD 02/01/10
|
252,837
|
||||||||
FNMA GTD REMIC P/T 10-90 PA
|
538,302
|
principal, 4.000% 04/25/2040 DD 07/01/10
|
558,121
|
||||||||
FNMA GTD REMIC P/T 10-98 EA
|
333,030
|
principal, 4.000% 09/25/2030 DD 08/01/10
|
355,572
|
||||||||
FNMA GTD REMIC P/T 11-16 GJ
|
82,881
|
principal, 3.500% 03/25/2026 DD 02/01/11
|
85,775
|
||||||||
FNMA GTD REMIC P/T 11-29 VA
|
584,185
|
principal, 4.500% 11/25/2022 DD 03/01/11
|
603,163
|
||||||||
FNMA GTD REMIC P/T 11-46 BA
|
2,491,286
|
principal, 4.000% 04/25/2037 DD 04/01/11
|
2,618,536
|
||||||||
FNMA GTD REMIC P/T 11-68 MK
|
538,165
|
principal, 5.000% 06/25/2021 DD 06/01/11
|
573,077
|
||||||||
FNMA GTD REMIC P/T 11-9 AV
|
1,387,913
|
principal, 5.000% 04/25/2020 DD 01/01/11
|
1,466,585
|
||||||||
FNMA GTD REMIC P/T 12-134 FD
|
603,394
|
principal, VAR RT 12/25/2042 DD 11/25/12
|
598,689
|
||||||||
FNMA GTD REMIC P/T 12-28 PT
|
1,291,136
|
principal, 4.000% 03/25/2042 DD 02/01/12
|
1,365,045
|
||||||||
FNMA GTD REMIC P/T 12-65 HJ
|
1,863,791
|
principal, 5.000% 07/25/2040 DD 05/01/12
|
2,038,572
|
||||||||
FNMA GTD REMIC P/T 12-M9 X1
|
5,356,071
|
principal, VAR RT 12/25/2017 DD 08/01/12
|
504,612
|
||||||||
FNMA GTD REMIC P/T 13-26 FE
|
4,860,519
|
principal, VAR RT 04/25/2043 DD 03/25/13
|
4,853,360
|
||||||||
FNMA GTD REMIC P/T 14-M10 X1IO
|
122,678,776
|
principal, VAR RT 09/25/2019 DD 09/01/14
|
505,314
|
||||||||
FNMA GTD REMIC P/T 14-M5 FA
|
840,138
|
principal, VAR RT 01/25/2017 DD 05/01/14
|
840,565
|
||||||||
FNMA SF MTG
|
19,000,000
|
principal, 3.000% 02/01/2045 DD 02/01/15
|
19,171,817
|
||||||||
FNMA SF MTG
|
4,000,000
|
principal, 3.000% 01/01/2045 DD 01/01/15
|
4,046,250
|
||||||||
FNMA SF MTG
|
10,200,000
|
principal, 3.500% 01/01/2030 DD 01/01/15
|
10,775,343
|
||||||||
GNMA POOL #0604075
|
184,476
|
principal, 5.000% 03/15/2018 DD 03/01/03
|
195,719
|
||||||||
GNMA POOL #0604083
|
307,204
|
principal, 5.500% 03/15/2033 DD 03/01/03
|
350,724
|
||||||||
GNMA POOL #0698279
|
684,130
|
principal, 4.000% 06/15/2024 DD 06/01/09
|
727,106
|
||||||||
GNMA POOL #0723552
|
1,286,052
|
principal, 4.000% 01/15/2025 DD 01/01/10
|
1,366,840
|
||||||||
GNMA POOL #0782108
|
406,849
|
principal, 5.500% 08/15/2021 DD 08/01/06
|
440,624
|
||||||||
GNMA POOL #0782189
|
204,447
|
principal, 6.500% 06/15/2022 DD 10/01/07
|
219,270
|
||||||||
GNMA POOL #0782500
|
288,620
|
principal, 5.500% 12/15/2023 DD 12/01/08
|
315,739
|
||||||||
GNMA GTD REMIC P/T 01-53 PB
|
704,000
|
principal, 6.500% 11/20/2031 DD 11/01/01
|
813,111
|
||||||||
GNMA GTD REMIC P/T 09-118 EP
|
215,804
|
principal, 4.000% 12/16/2039 DD 12/01/09
|
226,097
|
||||||||
GNMA GTD REMIC P/T 09-15 NJ
|
270,701
|
principal, 4.250% 12/20/2038 DD 03/01/09
|
281,089
|
||||||||
GNMA GTD REMIC P/T 09-42 CT
|
121,286
|
principal, 6.000% 08/16/2035 DD 06/01/09
|
138,909
|
||||||||
GNMA GTD REMIC P/T 09-55 FN
|
505,257
|
principal, VAR RT 07/20/2039 DD 07/20/09
|
516,726
|
||||||||
GNMA GTD REMIC P/T 09-93 PB
|
209,071
|
principal, 3.000% 12/16/2038 DD 10/01/09
|
214,366
|
||||||||
GNMA GTD REMIC P/T 10-29 CG
|
943,447
|
principal, 3.500% 12/20/2038 DD 03/01/10
|
979,853
|
||||||||
GNMA GTD REMIC P/T 10-31 BP
|
200,000
|
principal, 5.000% 03/20/2040 DD 03/01/10
|
232,794
|
||||||||
GNMA GTD REMIC P/T 11-17 EP
|
351,098
|
principal, 3.500% 12/16/2039 DD 02/01/11
|
360,423
|
||||||||
GNMA GTD REMIC P/T 11-40 PG
|
148,273
|
principal, 2.500% 06/20/2038 DD 03/01/11
|
150,260
|
||||||||
GNMA GTD REMIC P/T 12-123 IO
|
11,572,638
|
principal, VAR RT 12/16/2051 DD 10/01/12
|
791,846
|
||||||||
GNMA GTD REMIC P/T 13-1 IO
|
14,494,417
|
principal, VAR RT 02/16/2054 DD 01/01/13
|
1,113,432
|
||||||||
GNMA GTD REMIC P/T 13-101 A
|
1,879,255
|
principal, 0.514% 05/16/2035 DD 07/01/13
|
1,827,491
|
||||||||
GNMA GTD REMIC P/T 13-101 IO
|
3,642,117
|
principal, VAR RT 10/16/2054 DD 07/01/13
|
206,373
|
||||||||
GNMA GTD REMIC P/T 13-105 IO
|
25,174,991
|
principal, VAR RT 06/16/2054 DD 07/01/13
|
1,130,558
|
||||||||
GNMA GTD REMIC P/T 13-107 ID
|
7,756,948
|
principal, VAR RT 11/16/2047 DD 07/01/13
|
471,560
|
||||||||
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | ||||||||||
GNMA GTD REMIC P/T 13-125 IO
|
8,315,136
|
principal, VAR RT 10/16/2054 DD 08/01/13
|
$ |
473,189
|
||||||
GNMA GTD REMIC P/T 13-131 OJ
|
286,230
|
principal, 0.000% 02/20/2036 DD 09/01/13
|
286,039
|
|||||||
GNMA GTD REMIC P/T 13-139 IO
|
12,629,133
|
principal, VAR RT 10/16/2054 DD 09/01/13
|
655,629
|
|||||||
GNMA GTD REMIC P/T 13-15 IO
|
7,954,750
|
principal, VAR RT 08/16/2051 DD 01/01/13
|
474,803
|
|||||||
GNMA GTD REMIC P/T 13-156 IO
|
7,872,600
|
principal, VAR RT 06/16/2055 DD 10/01/13
|
485,857
|
|||||||
GNMA GTD REMIC P/T 13-2 IO
|
20,430,775
|
principal, VAR RT 05/16/2054 DD 01/01/13
|
1,130,598
|
|||||||
GNMA GTD REMIC P/T 13-40 IO
|
2,585,047
|
principal, VAR RT 06/16/2054 DD 03/01/13
|
170,101
|
|||||||
GNMA GTD REMIC P/T 13-45 IO
|
12,609,776
|
principal, VAR RT 12/16/2053 DD 03/01/13
|
786,573
|
|||||||
GNMA GTD REMIC P/T 13-55 AB
|
1,888,786
|
principal, 1.579% 12/16/2042 DD 04/01/13
|
1,852,646
|
|||||||
GNMA GTD REMIC P/T 13-7 IO
|
11,914,902
|
principal, VAR RT 05/16/2053 DD 01/01/13
|
782,547
|
|||||||
GNMA GTD REMIC P/T 13-74 IO
|
10,664,721
|
principal, VAR RT 12/16/2053 DD 05/01/13
|
671,643
|
|||||||
GNMA GTD REMIC P/T 14-118 ZP
|
3,040,200
|
principal, 4.000% 08/20/2044 DD 08/01/14
|
3,244,776
|
|||||||
GNMA GTD REMIC P/T 14-138 IO
|
3,100,479
|
principal, VAR RT 04/16/2056 DD 09/01/14
|
233,668
|
|||||||
GNMA GTD REMIC P/T 14-169 A
|
998,367
|
principal, 2.600% 11/16/2042 DD 11/01/14
|
1,009,062
|
|||||||
GNMA II POOL #0004607
|
692,930
|
principal, 4.000% 01/20/2025 DD 01/01/10
|
738,818
|
|||||||
GNMA II POOL #0004815
|
180,844
|
principal, 4.000% 10/20/2025 DD 10/01/10
|
192,828
|
|||||||
GNMA II POOL #0005050
|
1,395,633
|
principal, 4.000% 05/20/2026 DD 05/01/11
|
1,485,559
|
|||||||
GNMA REMIC P/T 14-120 IO
|
3,550,271
|
principal, VAR RT 04/16/2056 DD 08/01/14
|
232,525
|
|||||||
GS MORTGAGE SECURI GC3 A2 144A
|
1,884,465
|
principal, 3.645% 03/10/2044 DD 03/01/11
|
1,929,711
|
|||||||
GS MORTGAGE SECURI GC3 A3 144A
|
200,000
|
principal, 4.473% 03/10/2044 DD 03/01/11
|
207,521
|
|||||||
GS MORTGAGE SECURIT C1 A1 144A
|
725,603
|
principal, 3.679% 08/10/2043 DD 08/01/10
|
751,100
|
|||||||
GS MORTGAGE SECURIT C2 A1 144A
|
1,026,185
|
principal, 3.849% 12/10/2043 DD 12/01/10
|
1,058,993
|
|||||||
GSMPS MORTGAGE LOAN 4 1A3 144A
|
349,046
|
principal, 8.000% 06/25/2034 DD 10/01/04
|
368,014
|
|||||||
RESOLUTION FDG CORP STRIP
|
200,000
|
principal, 0.000% 04/15/2029 DD 04/15/90
|
132,610
|
|||||||
RESOLUTION FDG CORP STRIP
|
4,170,000
|
principal, 0.000% 04/15/2030 DD 04/15/90
|
2,645,014
|
|||||||
RESOLUTION FDG CORP STRIP
|
6,100,000
|
principal, 0.000% 01/15/2030 DD 01/30/91
|
3,913,510
|
|||||||
SBA GTD PARTN CTFS 1998-20D 1
|
51,174
|
principal, 6.150% 04/01/2018
|
53,315
|
|||||||
SBA GTD PARTN CTFS 2004-20L 1
|
28,951
|
principal, 4.870% 12/01/2024 DD 12/15/04
|
31,011
|
|||||||
SBA GTD PARTN CTFS 2005-20A 1
|
17,806
|
principal, 4.860% 01/01/2025 DD 01/12/05
|
19,138
|
|||||||
SBA GTD PARTN CTFS 2005-20E 1
|
13,372
|
principal, 4.840% 05/01/2025 DD 05/11/05
|
14,386
|
|||||||
SBA GTD PARTN CTFS 2006-20J 1
|
341,758
|
principal, 5.370% 10/01/2026 DD 10/11/06
|
371,299
|
|||||||
SBA GTD PARTN CTFS 2006-20K 1
|
366,066
|
principal, 5.360% 11/01/2026 DD 11/15/06
|
397,084
|
|||||||
SBA GTD PARTN CTFS 2006-20L 1
|
352,648
|
principal, 5.120% 12/01/2026 DD 12/13/06
|
382,719
|
|||||||
SBA GTD PARTN CTFS 2007-20D 1
|
311,639
|
principal, 5.320% 04/01/2027 DD 04/11/07
|
344,009
|
|||||||
TENNESSEE VALLEY AUTH BD
|
100,000
|
principal, 4.625% 09/15/2060 DD 09/15/10
|
113,609
|
|||||||
TENNESSEE VALLEY AUTH BD
|
400,000
|
principal, 4.875% 01/15/2048 DD 01/23/08
|
477,721
|
|||||||
TENNESSEE VALLEY AUTH BD
|
2,391,000
|
principal, 5.250% 09/15/2039 DD 09/15/09
|
3,043,898
|
|||||||
TENNESSEE VALLEY AUTH BD
|
100,000
|
principal, 5.375% 04/01/2056 DD 04/01/06
|
132,136
|
|||||||
TENNESSEE VALLEY AUTH BD
|
1,000,000
|
principal, 5.880% 04/01/2036 DD 07/23/97
|
1,364,081
|
|||||||
U S TREASURY BD CPN STRIP
|
2,900,000
|
principal, 0.000% 05/15/2028 DD 11/16/98
|
2,055,366
|
|||||||
U S TREASURY BD CPN STRIP
|
1,300,000
|
principal, 0.000% 05/15/2031 DD 08/15/07
|
841,303
|
|||||||
U S TREASURY BD CPN STRIP
|
2,900,000
|
principal, 0.000% 05/15/2032 DD 08/15/07
|
1,819,231
|
|||||||
U S TREASURY BD CPN STRIP
|
100,000
|
principal, 0.000% 05/15/2033 DD 08/15/07
|
60,860
|
|||||||
U S TREASURY BD CPN STRIP
|
4,300,000
|
principal, 0.000% 05/15/2034 DD 08/15/07
|
2,543,781
|
|||||||
U S TREASURY BD CPN STRIP
|
950,000
|
principal, 0.000% 08/15/2032 DD 02/15/06
|
591,317
|
|||||||
U S TREASURY BD CPN STRIP
|
100,000
|
principal, 0.000% 11/15/2032 DD 08/15/07
|
61,759
|
|||||||
U S TREASURY BD PRIN STRIP
|
1,500,000
|
principal, 0.000% 08/15/2039 DD 08/17/09
|
762,456
|
|||||||
U S TREASURY BD PRIN STRIP
|
300,000
|
principal, 0.000% 11/15/2042 DD 11/15/12
|
135,558
|
|||||||
U S TREASURY BD PRIN STRIP
|
4,550,000
|
principal, 0.000% 05/15/2040 DD 05/17/10
|
2,259,221
|
|||||||
U S TREASURY BILL
|
556,000
|
principal, 0.000% 01/02/2015 DD 07/03/14
|
556,000
|
|||||||
U S TREASURY BILL
|
1,000,000
|
principal, 0.000% 03/26/2015 DD 09/25/14
|
999,808
|
|||||||
U S TREASURY BILL
|
900,000
|
principal,0.000% 01/29/2015 DD 07/31/14
|
899,990 |
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
U S TREASURY BOND
|
100,000
|
principal, 2.750% 08/15/2042 DD 08/15/12
|
$ |
99,969
|
|||||||
U S TREASURY BOND
|
400,000
|
principal, 2.750% 11/15/2042 DD 11/15/12
|
399,594
|
||||||||
U S TREASURY BOND
|
600,000
|
principal, 3.000% 05/15/2042 DD 05/15/12
|
630,656
|
||||||||
U S TREASURY BOND
|
3,200,000
|
principal, 3.125% 02/15/2042 DD 02/15/12
|
3,444,749
|
||||||||
U S TREASURY BOND
|
4,400,000
|
principal, 3.125% 02/15/2043 DD 02/15/13
|
4,724,157
|
||||||||
U S TREASURY BOND
|
6,600,000
|
principal, 3.125% 08/15/2044 DD 08/15/14
|
7,105,309
|
||||||||
U S TREASURY BOND
|
6,000,000
|
principal, 3.125% 11/15/2041 DD 11/15/11
|
6,475,314
|
||||||||
U S TREASURY BOND
|
5,500,000
|
principal, 3.375% 05/15/2044 DD 05/15/14
|
6,191,796
|
||||||||
U S TREASURY BOND
|
1,300,000
|
principal, 3.625% 08/15/2043 DD 08/15/13
|
1,528,821
|
||||||||
U S TREASURY BOND
|
1,800,000
|
principal, 4.250% 05/15/2039 DD 05/15/09
|
2,313,704
|
||||||||
U S TREASURY BOND
|
18,400,000
|
principal, 4.375% 11/15/2039 DD 11/15/09
|
24,127,000
|
||||||||
U S TREASURY BOND
|
2,600,000
|
principal, 4.500% 08/15/2039 DD 08/15/09
|
3,464,906
|
||||||||
U S TREASURY BOND
|
300,000
|
principal, 4.625% 02/15/2040 DD 02/15/10
|
407,813
|
||||||||
U S TREASURY BONDS
|
5,600,000
|
principal, 3.750% 11/15/2043 DD 11/15/13
|
6,731,810
|
||||||||
U S TREASURY BONDS
|
440,000
|
principal, 3.625% 02/15/2044 DD 02/15/14
|
517,791
|
||||||||
U S TREASURY NOTE
|
12,415,000
|
principal, 0.250% 02/28/2015 DD 02/28/13
|
12,418,389
|
||||||||
U S TREASURY NOTE
|
1,100,000
|
principal, 0.250% 03/31/2015 DD 03/31/13
|
1,100,387
|
||||||||
U S TREASURY NOTE
|
12,400,000
|
principal, 0.250% 09/15/2015 DD 09/15/12
|
12,406,783
|
||||||||
U S TREASURY NOTE
|
56,300,000
|
principal, 0.250% 09/30/2015 DD 09/30/13
|
56,317,566
|
||||||||
U S TREASURY NOTE
|
25,925,000
|
principal, 0.375% 02/15/2016 DD 02/15/13
|
25,935,137
|
||||||||
U S TREASURY NOTE
|
4,600,000
|
principal, 0.375% 04/15/2015 DD 04/15/12
|
4,603,593
|
||||||||
U S TREASURY NOTE
|
17,243,000
|
principal, 0.375% 04/30/2016 DD 04/30/14
|
17,240,310
|
||||||||
U S TREASURY NOTE
|
3,787,000
|
principal, 0.375% 05/31/2016 DD 05/31/14
|
3,784,633
|
||||||||
U S TREASURY NOTE
|
55,800,000
|
principal, 0.375% 08/31/2015 DD 08/31/13
|
55,874,102
|
||||||||
U S TREASURY NOTE
|
14,216,000
|
principal, 0.375% 10/31/2016 DD 10/31/14
|
14,157,131
|
||||||||
U S TREASURY NOTE
|
21,277,000
|
principal, 0.500% 06/30/2016 DD 06/30/14
|
21,280,324
|
||||||||
U S TREASURY NOTE
|
5,474,000
|
principal, 0.500% 09/30/2016 DD 09/30/14
|
5,467,584
|
||||||||
U S TREASURY NOTE
|
18,429,000
|
principal, 0.625% 08/15/2016 DD 08/15/13
|
18,459,242
|
||||||||
U S TREASURY NOTE
|
7,099,000
|
principal, 0.625% 09/30/2017 DD 09/30/12
|
7,023,019
|
||||||||
U S TREASURY NOTE
|
15,619,000
|
principal, 0.625% 12/31/2016 DD 12/31/14
|
15,598,258
|
||||||||
U S TREASURY NOTE
|
19,250,000
|
principal, 0.750% 02/28/2018 DD 02/28/13
|
18,985,312
|
||||||||
U S TREASURY NOTE
|
3,600,000
|
principal, 0.750% 03/15/2017 DD 03/15/14
|
3,598,592
|
||||||||
U S TREASURY NOTE
|
26,150,000
|
principal, 0.875% 01/31/2018 DD 01/31/13
|
25,939,571
|
||||||||
U S TREASURY NOTE
|
5,815,000
|
principal, 0.875% 02/28/2017 DD 02/29/12
|
5,829,084
|
||||||||
U S TREASURY NOTE
|
6,000,000
|
principal, 0.875% 06/15/2017 DD 06/15/14
|
5,996,718
|
||||||||
U S TREASURY NOTE
|
4,000,000
|
principal, 0.875% 07/15/2017 DD 07/15/14
|
3,995,312
|
||||||||
U S TREASURY NOTE
|
16,980,000
|
principal, 0.875% 10/15/2017 DD 10/15/14
|
16,915,001
|
||||||||
U S TREASURY NOTE
|
16,500,000
|
principal, 1.000% 05/31/2018 DD 05/31/13
|
16,340,148
|
||||||||
U S TREASURY NOTE
|
17,330,000
|
principal, 1.000% 12/15/2017 DD 12/15/14
|
17,289,378
|
||||||||
U S TREASURY NOTE
|
18,000,000
|
principal, 1.250% 10/31/2018 DD 10/31/13
|
17,883,288
|
||||||||
U S TREASURY NOTE
|
8,500,000
|
principal, 1.500% 01/31/2019 DD 01/31/14
|
8,503,324
|
||||||||
U S TREASURY NOTE
|
4,290,000
|
principal, 1.625% 03/31/2019 DD 03/31/14
|
4,309,103
|
||||||||
U S TREASURY NOTE
|
8,000,000
|
principal, 1.625% 06/30/2019 DD 06/30/14
|
8,020,000
|
||||||||
U S TREASURY NOTE
|
29,500,000
|
principal, 1.625% 07/31/2019 DD 07/31/14
|
29,546,079
|
||||||||
U S TREASURY NOTE
|
11,200,000
|
principal, 1.625% 08/31/2019 DD 08/31/14
|
11,212,253
|
||||||||
U S TREASURY NOTE
|
22,000,000
|
principal, 1.750% 09/30/2019 DD 09/30/14
|
22,128,898
|
||||||||
U S TREASURY NOTE
|
804,000
|
principal, 2.500% 03/31/2015 DD 03/31/10
|
808,679
|
||||||||
U S TREASURY NOTE
|
6,000,000
|
principal, VAR RT 01/31/2016 DD 01/31/14
|
5,998,362
|
||||||||
US TREAS-CPI
|
7,627,042
|
principal, 0.375% 07/15/2023 DD 07/15/13
|
7,540,642
|
||||||||
US TREAS-CPI
|
10,405,574
|
principal, 0.625% 01/15/2024 DD 01/15/14
|
10,450,286
|
||||||||
US TREAS-CPI
|
6,520,640
|
principal, 1.375% 02/15/2044 DD 02/15/14
|
7,380,041
|
||||||||
US TREAS-CPI INFLAT
|
8,288,048
|
principal, 0.125% 01/15/2022 DD 01/15/12
|
8,061,420
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
U.S. Government Securities (continued): | |||||||||||
US TREAS-CPI INFLAT
|
8,049,734
|
principal, 0.125% 01/15/2023 DD 01/15/13
|
$ |
7,783,714
|
|||||||
US TREAS-CPI INFLAT
|
9,170,854
|
principal, 0.125% 04/15/2016 DD 04/15/11
|
9,142,910
|
||||||||
US TREAS-CPI INFLAT
|
12,945,802
|
principal, 0.125% 04/15/2019 DD 04/15/14
|
12,803,191
|
||||||||
US TREAS-CPI INFLAT
|
11,947,454
|
principal, 0.125% 07/15/2022 DD 07/15/12
|
11,640,369
|
||||||||
US TREAS-CPI INFLAT
|
5,609,984
|
principal, 0.500% 04/15/2015 DD 04/15/10
|
5,536,790
|
||||||||
US TREAS-CPI INFLAT
|
2,685,280
|
principal, 0.625% 02/15/2043 DD 02/15/13
|
2,524,582
|
||||||||
US TREAS-CPI INFLAT
|
6,637,365
|
principal, 0.625% 07/15/2021 DD 07/15/11
|
6,720,850
|
||||||||
US TREAS-CPI INFLAT
|
5,948,813
|
principal, 0.750% 02/15/2042 DD 02/15/12
|
5,780,111
|
||||||||
US TREAS-CPI INFLAT
|
7,734,045
|
principal, 1.125% 01/15/2021 DD 01/15/11
|
8,034,342
|
||||||||
US TREAS-CPI INFLAT
|
3,565,820
|
principal, 1.250% 07/15/2020 DD 07/15/10
|
3,742,439
|
||||||||
US TREAS-CPI INFLAT
|
8,026,892
|
principal, 1.375% 01/15/2020 DD 01/15/10
|
8,425,098
|
||||||||
US TREAS-CPI INFLAT
|
4,392,080
|
principal, 1.750% 01/15/2028 DD 01/15/08
|
4,972,313
|
||||||||
US TREAS-CPI INFLAT
|
2,484,267
|
principal, 1.875% 07/15/2015 DD 07/15/05
|
2,492,030
|
||||||||
US TREAS-CPI INFLAT
|
10,759,471
|
principal, 1.875% 07/15/2019 DD 07/15/09
|
11,547,935
|
||||||||
US TREAS-CPI INFLAT
|
5,389,647
|
principal, 2.000%001/15/2026 DD 01/15/06
|
6,176,201
|
||||||||
US TREAS-CPI INFLAT
|
1,410,112
|
principal, 2.125% 01/15/2019 DD 01/15/09
|
1,515,209
|
||||||||
US TREAS-CPI INFLAT
|
1,483,124
|
principal, 2.125% 02/15/2040 DD 02/15/10
|
1,922,499
|
||||||||
US TREAS-CPI INFLAT
|
2,879,142
|
principal, 2.125% 02/15/2041 DD 02/15/11
|
3,759,079
|
||||||||
US TREAS-CPI INFLAT
|
2,560,976
|
principal, 2.375% 01/15/2027 DD 01/15/07
|
3,064,968
|
||||||||
US TREAS-CPI INFLAT
|
7,730,730
|
principal, 2.500% 01/15/2029 DD 01/15/09
|
9,592,746
|
||||||||
US TREAS-CPI INFLAT
|
3,468,581
|
principal, 2.500% 07/15/2016 DD 07/15/06
|
3,615,725
|
||||||||
US TREAS-CPI INFLAT
|
367,884
|
principal, 3.375% 04/15/2032 DD 10/15/01
|
521,763
|
||||||||
US TREAS-CPI INFLAT
|
2,202,165
|
principal, 3.625% 04/15/2028 DD 04/15/98
|
3,026,773
|
||||||||
US TREAS-CPI INFLAT
|
5,741,570
|
principal, 3.875% 04/15/2029 DD 04/15/99
|
8,217,621
|
||||||||
US TREAS-CPI INFLAT
|
10,975,329
|
principal, 0.125% 07/15/2024 DD 07/15/14
|
10,569,758
|
||||||||
US TREASURY NOTE
|
13,972,000
|
principal, 0.250% 02/29/2016 DD 02/28/14
|
13,954,535
|
||||||||
Total U.S. Government Securities
|
$
|
1,490,820,793
|
State and Municipal Bonds: | ||||||||||||
AMERICAN MUNI PWR-OHIO INC OH
|
700,000
|
principal, 7.834% 02/15/2041 DD 12/21/10
|
$
|
1,056,398
|
||||||||
AMERICAN MUNI PWR-OHIO INC OH
|
300,000
|
principal, 8.084% 02/15/2050 DD 12/21/10
|
484,617
|
|||||||||
BAY AREA CA TOLL AUTH TOLL BRI
|
1,500,000
|
principal, 7.043% 04/01/2050 DD 07/01/10
|
2,232,060
|
|||||||||
BAY AREA CA TOLL AUTH TOLL BRI
|
300,000
|
principal, 6.907% 10/01/2050 DD 11/04/10
|
439,323
|
|||||||||
CALIFORNIA ST
|
275,000
|
principal, 7.300% 10/01/2039 DD 10/15/09
|
405,347
|
|||||||||
CALIFORNIA ST
|
2,025,000
|
principal, 7.500% 04/01/2034 DD 04/28/09
|
3,012,350
|
|||||||||
CALIFORNIA ST
|
3,125,000
|
principal, 7.550% 04/01/2039 DD 04/28/09
|
4,825,594
|
|||||||||
CALIFORNIA ST
|
525,000
|
principal, 7.600% 11/01/2040 DD 12/01/10
|
819,698
|
|||||||||
CALIFORNIA ST
|
1,100,000
|
principal, 7.625% 03/01/2040 DD 04/01/10
|
1,689,600
|
|||||||||
CALIFORNIA ST UNIV REVENUE
|
100,000
|
principal, 6.484% 11/01/2041 DD 04/06/10
|
131,148
|
|||||||||
CHICAGO IL TRANSIT AUTH SALES
|
100,000
|
principal, 6.200% 12/01/2040 DD 04/06/10
|
118,769
|
|||||||||
HARRIS CNTY TX MET TRANSIT AUT
|
300,000
|
principal, 6.875% 11/01/2038 DD 06/11/09
|
353,421
|
|||||||||
ILLINOIS ST
|
3,500,000
|
principal, 5.365% 03/01/2017 DD 03/10/11
|
3,754,625
|
|||||||||
ILLINOIS ST
|
9,575,000
|
principal, 5.665% 03/01/2018 DD 03/10/11
|
10,515,456
|
|||||||||
INDIANAPOLIS IN LOCAL PUBLIC I
|
100,000
|
principal, 6.004% 01/15/2040 DD 02/17/10
|
129,888
|
|||||||||
LOS ANGELES CA UNIF SCH DIST
|
1,550,000
|
principal, 6.758% 07/01/2034 DD 03/04/10
|
2,161,258
|
|||||||||
MET TRANSPRTN AUTH NY REVENUE
|
1,100,000
|
principal, 6.814% 11/15/2040 DD 12/29/10
|
1,522,444
|
|||||||||
MICHIGAN ST UNIV REVENUES
|
100,000
|
principal, 6.173% 02/15/2050 DD 04/28/10
|
121,284
|
|||||||||
MUNI ELEC AUTH OF GEORGIA
|
300,000
|
principal, 6.637% 04/01/2057 DD 03/11/10
|
398,016
|
|||||||||
MUNI ELEC AUTH OF GEORGIA
|
700,000
|
principal, 6.655% 04/01/2057 DD 03/12/10
|
923,370
|
|||||||||
NEW JERSEY ST TRANSPRTN TRUST
|
200,000
|
principal, 6.875% 12/15/2039 DD 06/03/09
|
223,354
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
State and Municipal Bonds (continued): | ||||||||||||
NEW JERSEY ST TURNPIKE AUTH
|
2,400,000
|
principal, 7.102% 01/01/2041 DD 12/15/10
|
$ |
3,483,192
|
||||||||
NEW YORK CITY NY MUNI WTR FIN
|
900,000
|
principal, 5.724% 06/15/2042 DD 06/30/10
|
1,187,901
|
|||||||||
NEW YORK CITY NY MUNI WTR FIN
|
100,000
|
principal, 6.124% 06/15/2042 DD 06/30/10
|
114,066
|
|||||||||
NEW YORK CITY NY TRANSITIONAL
|
100,000
|
principal, 5.267% 05/01/2027 DD 06/04/10
|
116,806
|
|||||||||
NEW YORK NY
|
300,000
|
principal, 6.271% 12/01/2037 DD 12/21/10
|
399,060
|
|||||||||
NTHRN CA PWR AGY
|
100,000
|
principal, 7.311% 06/01/2040 DD 06/24/10
|
124,988
|
|||||||||
PASADENA CA PUBLIC FING AUTH L
|
100,000
|
principal, 7.148% 03/01/2043 DD 11/23/10
|
134,101
|
|||||||||
RIVERSIDE CA ELEC REVENUE
|
100,000
|
principal, 7.605% 10/01/2040 DD 12/16/10
|
142,264
|
|||||||||
RIVERSIDE CA SWR REVENUE
|
800,000
|
principal, 7.200% 08/01/2039 DD 08/20/09
|
919,760
|
|||||||||
SAN DIEGO CNTY CA WTR AUTH FIN
|
500,000
|
principal, 6.138% 05/01/2049 DD 02/04/10
|
676,615
|
|||||||||
TEXAS ST PUBLIC FIN AUTH
|
700,000
|
principal, 8.250% 07/01/2024 DD 09/30/14
|
702,233
|
|||||||||
TEXAS ST TRANSPRTN COMMISSION
|
200,000
|
principal, 5.028% 04/01/2026 DD 08/05/10
|
234,726
|
|||||||||
TOBACCO SETTLEMENT AUTH IA TOB
|
100,000
|
principal, STEP 06/01/2034 DD 11/30/05
|
90,968
|
|||||||||
Total State and Municipal Bonds
|
$
|
43,644,700
|
||||||||||
Foreign Obligations: | ||||||||||||
COLOMBIA GOVERNMENT INTERNATIO
|
100,000
|
principal, 6.125% 01/18/2041 DD 10/20/09
|
$
|
119,750
|
||||||||
COOPERATIEVE CENTRALE RAIFFEIS
|
1,200,000
|
principal, 5.250% 05/24/2041 DD 05/24/11
|
1,435,217
|
|||||||||
EXPORT IMPORT BANK OF KOREA
|
775,000
|
principal, 4.000% 01/11/2017 DD 01/11/12
|
812,456
|
|||||||||
HYDRO QUEBEC
|
300,000
|
principal, 6.500% 15-FEB-2035 MTN
|
379,739
|
|||||||||
INDONESIA GOVERNMENT INTE 144A
|
800,000
|
principal, 2.875% 07/08/2021
|
980,141
|
|||||||||
ISRAEL ST AID
|
1,300,000
|
principal, 0.000% 02/15/2024 DD 08/28/96
|
1,017,767
|
|||||||||
ISRAEL ST AID
|
800,000
|
principal, 0.000% 05/15/2023 DD 01/21/97
|
643,148
|
|||||||||
ISRAEL ST AID
|
300,000
|
principal, 0.000% 11/15/2022 DD 11/09/94
|
245,950
|
|||||||||
ISRAEL ST AID
|
200,000
|
principal, 5.500% 09/18/2033 DD 09/18/03
|
268,699
|
|||||||||
ISRAEL ST AID
|
800,000
|
principal, 5.500% 12/04/2023 DD 12/04/03
|
986,764
|
|||||||||
MEXICAN BONOS
|
19,200,000
|
principal, 7.750% 05/29/2031
|
1,479,476
|
|||||||||
MEXICAN CETES
|
149,086,000
|
principal, 0.000% 05/28/2015
|
9,963,661
|
|||||||||
MEXICO CETES
|
65,554,000
|
principal, 0.000% 02/19/2015
|
4,414,843
|
|||||||||
MEXICO CETES
|
64,358,000
|
principal, 0.000% 04/01/2015
|
4,318,229
|
|||||||||
MEXICO GOVERNMENT INTERNATIONA
|
800,000
|
principal, 5.125% 01/15/2020 DD 01/15/10
|
882,000
|
|||||||||
MEXICO GOVERNMENT INTERNATIONA
|
100,000
|
principal, 5.750% 10/12/2039 DD 10/12/10
|
107,500
|
|||||||||
MEXICO OVERNMENT INTERNATIONA
|
200,000
|
principal, 5.950% 03/19/2019 DD 12/23/08
|
226,300
|
|||||||||
MEXICO OVERNMENT INTERNATIONA
|
100,000
|
principal, 6.050% 01/11/2040 DD 01/11/08
|
122,300
|
|||||||||
MOROCCO GOVERNMENT AID BOND
|
419,200
|
principal, 7.550% 07/15/2026 DD 07/29/96
|
529,988
|
|||||||||
PROV OF ONTARIO
|
1,500,000
|
principal, 3.450% 02-JUN-2045 BDS
|
1,338,040
|
|||||||||
PROV OF ONTARIO
|
200,000
|
principal, 4.600% 02-JUN-2039
|
210,989
|
|||||||||
PROV OF ONTARIO
|
400,000
|
principal, 4.650% 02-JUN-2041
|
428,581
|
|||||||||
PROV OF ONTARIO
|
300,000
|
principal, 5.600% 02-JUN-2035
|
350,510
|
|||||||||
PROV OF QUEBEC
|
1,600,000
|
principal, 5.750% 01-DEC-2036
|
1,901,462
|
|||||||||
PROVINCE OF ONTARIO CANADA
|
200,000
|
principal, 4.400% 04/14/2020 DD 04/14/10
|
222,572
|
|||||||||
QATAR GOVERNMENT INTERNAT 144A
|
100,000
|
principal, 6.400% 01/20/2040
|
128,625
|
|||||||||
RUSSIAN FOREIGN BOND - EU REGS
|
65,500
|
principal, STEP 03/31/2030
|
67,923
|
|||||||||
SLOVENIA GOVERNMENT BOND REGS
|
4,300,000
|
principal, 4.625% 09/09/2024
|
6,327,109
|
|||||||||
SLOVENIA OVERNMENT INTER REGS
|
1,600,000
|
principal, 5.500% 10/26/2022
|
1,774,000
|
|||||||||
SPAIN VERNMENT INTERNAT 144A
|
2,000,000
|
principal, 4.000% 03/06/2018 DD 02/27/13
|
2,104,221
|
|||||||||
Total Foreign Obligations
|
$
|
43,787,960
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Derivatives: | ||||||||||
Bank of America N.A.
|
CDS SP UL IG23 5Y 100BPS
|
PUT MAR 15 001.000 ED 03/18/15
|
$
|
(2,682
|
)
|
|||||
Bank of America N.A.
|
IRS P USD 10Y 415BPS R 3.500%
|
PUT AUG 17 003.500 ED 08/17/17
|
(69,352
|
)
|
||||||
Bank of America N.A.
|
IRS P USD30Y 88BPS R 3.500%
|
PUT AUG 17 003.500 ED 08/17/17
|
62,692
|
|||||||
Bank of America NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
EUR USD 2/19/2015
|
150,827
|
|||||||
Bank of America NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 2/3/2015
|
(357
|
)
|
||||||
Bank of America NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 2/3/2015
|
(531
|
)
|
||||||
Bank of America NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD JPY 1/5/2015
|
326
|
|||||||
Bank of America NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD JPY 1/5/2015
|
485
|
|||||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
BRL USD 1/2/2015
|
(338
|
)
|
|||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
BRL USD 1/5/2015
|
(959
|
)
|
|||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
BRL USD 1/6/2015
|
(147
|
)
|
|||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
EUR USD 1/2/2015
|
253
|
||||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
EUR USD 3/18/2015
|
1,273,895
|
||||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
HKD USD 1/2/2015
|
(14
|
)
|
|||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 3/18/2015
|
(267,986
|
)
|
|||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
PHP USD 1/5/2015
|
(32
|
)
|
|||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
SEK USD 3/18/2015
|
718,017
|
||||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD BRL 1/2/2015
|
103
|
||||||
* |
Bank of New York Mellon Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD BRL 1/5/2015
|
5
|
||||||
Barclays Bank PLC
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
GBP USD 1/2/2015
|
(118
|
)
|
||||||
Barclays Bank PLC
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD MXN 2/5/2015
|
(1,156
|
)
|
||||||
BNP Paribas Securities Corp
|
CDS BP UL LENNAR CORP
|
P 500BPS 2015 JUN 20
|
-
|
|||||||
BNP Paribas Securities Corp
|
CDS_BP UL LENNAR CORP
|
P 500BPS 2015 JUN 20
|
(30,304
|
)
|
||||||
BNP Paribas Securities Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
MXN USD 2/19/2015
|
375,027
|
|||||||
Brown Brothers Harriman & Co
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
EUR USD 1/2/2015
|
40
|
|||||||
Brown Brothers Harriman & Co
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD HKD 1/5/2015
|
224
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP IRS P AUD-BBR-BBSW 6M
|
R 4.00% 2019 JUN 18 CME
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP IRS P AUD-BBR-BBSW 6M CME
|
REC 3.50% 2019 JUN 18
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP IRS P BBR6M R 3.75% CME
|
2019 DEC 17
|
1,832,794
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP IRS P LIB3M 100BPS R2.420%
|
2024 DEC 03 CME
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP IRS P TIIE1M 100 BPS R8.30
|
2019 FEB 07 CME
|
12,548
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP IRS R EUR006M P 2.00%
|
2045 MAR 18 CME
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP IRS USD-LIBOR-BBA 3M CME
|
REC 3.5% 2044 DEC 17
|
(222,939
|
)
|
||||||
Chicago Mercantile Exchange Inc
|
CCP IRS USD-LIBOR-BBA 3M CME
|
REC_3.5% 2044 DEC 17
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP P IRS USD-LIBOR-BBA 3M CME
|
REC 2.25% 2019 DEC 17
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS P AUD-BBR-BBSW 6M
|
R 4.00% 2019 JUN 18 CME
|
164,712
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS P AUD-BBR-BBSW 6M CME
|
REC 3.50% 2019 JUN 18
|
1,674,642
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS P BBR6M R 3.75% CME
|
2019 DEC 17
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS P LIB3M 100BPS R2.420%
|
2024 DEC 03 CME
|
(13,539
|
)
|
||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS P TIIE1M 100 BPS R8.30
|
2019 FEB 07 CME
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS R EUR006M P 2.00%
|
2045 MAR 18 CME
|
(757,776
|
)
|
||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS. R USD-LIBOR-BBA 3M CM
|
PAY 1.85% 2019 DEC 04
|
(2,967
|
)
|
||||||
Chicago Mercantile Exchange Inc
|
CCP_IRS._R USD-LIBOR-BBA 3M CM
|
PAY 1.85% 2019 DEC 04
|
-
|
|||||||
Chicago Mercantile Exchange Inc
|
CCP_P IRS USD-LIBOR-BBA 3M CME
|
REC 2.25% 2019 DEC 17
|
(519,558
|
)
|
||||||
Citibank NA
|
CDS SP UL FEDERATIVE REPUBLIC
|
R 100BPS 2019 SEP 20
|
(30,306
|
)
|
||||||
Citibank NA
|
CDS SP UL IMEX
|
R 100BPS 2019 DEC 20
|
470
|
|||||||
Citibank NA
|
CDS SP UL REPUBLIC OF ITALY
|
R 100BPS 2019 DEC 20
|
(45,186
|
)
|
||||||
Citibank NA
|
CDS_SP UL FEDERATIVE REPUBLIC
|
R 100BPS 2019 SEP 20
|
-
|
|||||||
Citibank NA
|
CDS_SP UL IMEX
|
R 100BPS 2019 DEC 20
|
-
|
|||||||
Citibank NA
|
CDS_SP UL REPUBLIC OF ITALY
|
R 100BPS 2019 DEC 20
|
-
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Derivatives (continued): | ||||||||||
Citibank NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
CAD USD 3/3/2015
|
$ |
50,843
|
||||||
Citibank NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
EUR USD 2/19/2015
|
288,239
|
|||||||
Citibank NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD KRW 2/26/2015
|
(547
|
)
|
||||||
Citibank NA
|
INF FLR CPURNSA 216.687 @0
|
CALL APR20 002.16687 ED 04/07/20
|
(232
|
)
|
||||||
Credit Suisse AG
|
CDS SP UL FINMECCANICA S.P.A.
|
R 500BPS 2019 MAR 20
|
37,129
|
|||||||
Credit Suisse AG
|
CDS_SP UL FINMECCANICA S.P.A.
|
R 500BPS 2019 MAR 20
|
-
|
|||||||
Credit Suisse AG
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 1/5/2015
|
16,460
|
|||||||
Credit Suisse AG
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 1/5/2015
|
24,482
|
|||||||
Credit Suisse AG
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
MXN USD 5/28/2015
|
748,651
|
|||||||
Credit Suisse Securities (USA) LLC
|
90DAY EURODOLLAR FUTURE (CME)
|
2016 JUN 13
|
25,231
|
|||||||
Credit Suisse Securities (USA) LLC
|
US ULTRA BOND (CBT)
|
2015 MAR 20
|
7,484
|
|||||||
Deutsche Bank AG
|
IRS P USD 30Y 825 BPS R 3.500%
|
PUT AUG 17 003.500 ED 08/17/17
|
96,449
|
|||||||
Deutsche Bank AG
|
IRS P USD 5Y 28BPS R 1.750%
|
CALL JAN 15 001.750 ED 1/05/15
|
(9,056
|
)
|
||||||
Deutsche Bank AG
|
IRS P USD 5Y 31BPS R 2.250%
|
PUT JAN 15 002.250 ED 01/05/15
|
-
|
|||||||
Deutsche Bank AG
|
IRS P USD10Y 395 BPS R 3.500%
|
PUT AUG 17 003.500 ED 08/17/17
|
(105,224
|
)
|
||||||
Deutsche Bank AG/London
|
CDS SP UL THE GOLDMAN SACHS G
|
R 100BPS 2019 MAR 20
|
1,195
|
|||||||
Deutsche Bank AG/London
|
CDS SP UL THE GOLDMAN SACHS G
|
R 100BPS 2019 MAR 20
|
-
|
|||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
CHF USD 3/18/2015
|
792,961
|
|||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 1/6/2015
|
(68
|
)
|
||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 1/7/2015
|
8,822
|
|||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD CHF 1/5/2015
|
28
|
|||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD CHF 3/18/2015
|
(76,533
|
)
|
||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD EUR 1/2/2015
|
(9
|
)
|
||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD GBP 1/2/2015
|
(7
|
)
|
||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD GBP 3/18/2015
|
1,364
|
|||||||
Deutsche Bank AG/London
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD JPY 1/7/2015
|
(10,301
|
)
|
||||||
Goldman Sachs & Co
|
AUSTRALIAN 10YR BOND FUT (SFE)
|
2015 MAR 16
|
(361,187
|
)
|
||||||
Goldman Sachs & Co
|
EURO BUXL 30 YR BOND FUT (EUX)
|
2015 MAR 06
|
(49,878
|
)
|
||||||
Goldman Sachs & Co
|
US 10YR TREAS NTS FUTURE (CBT)
|
2015 MAR 20
|
110,055
|
|||||||
Goldman Sachs Bank USA/New York NY
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
AUD USD 1/5/2015
|
(633
|
)
|
||||||
Goldman Sachs Bank USA/New York NY
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
EUR USD 2/19/2015
|
46,989
|
|||||||
Goldman Sachs Bank USA/New York NY
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
EUR USD 2/19/2015
|
254,144
|
|||||||
Goldman Sachs International
|
CDX SP UL CMBX.NA.AAA.1_1
|
R 10BPS 2052 OCT 12
|
(2,146
|
)
|
||||||
Goldman Sachs International
|
CDX_SP UL CMBX.NA.AAA.1_1
|
R 10BPS 2052 OCT 12
|
-
|
|||||||
Goldman Sachs International
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
NOK USD 1/2/2015
|
178
|
|||||||
HSBC Securities Inc
|
CDS SP UL UNITED MEXICAN STAT
|
R 100BPS 2019 DEC 20
|
940
|
|||||||
HSBC Securities Inc
|
CDS_SP UL UNITED MEXICAN STAT
|
R 100BPS 2019 DEC 20
|
-
|
|||||||
HSBC Securities Inc
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD EUR 2/19/2015
|
(69,215
|
)
|
||||||
IntercontinentalExchange Holdings
|
CCP CDS SP UL CDX IG23 5Y
|
R 100BPS 2019 DEC 20
|
-
|
|||||||
IntercontinentalExchange Holdings
|
CCP_CDS SP UL CDX IG23 5Y
|
VAR RT 12/20/2019 DD 09/22/14
|
631,565
|
|||||||
JP Morgan Chase Bank NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
MXN USD 4/1/2015
|
345,737
|
|||||||
JP Morgan Chase Bank, N.A.
|
IRS P US0003M R 2.30%
|
CALL FEB 15 002.300 ED 02/18/15
|
(10,248
|
)
|
||||||
JP Morgan Chase Bank, N.A.
|
IRS P US0003M R 2.75%
|
PUT FEB 15 002.750 ED 02/18/15
|
(724
|
)
|
||||||
JP Morgan Chase Bank, N.A.
|
IRS P USD 10Y 418BPS R 3.500%
|
PUT AUG 17 003.500 ED 08/17/17
|
(69,352
|
)
|
||||||
JP Morgan Chase Bank, N.A.
|
IRS P USD 30Y 88BPS R 3.500%
|
PUT AUG 17 003.500 ED 08/17/17
|
62,692
|
|||||||
JPMorgan
|
US 10YR TREAS NTS FUTURE (CBT)
|
2015 MAR 01
|
11,000
|
|||||||
JPMorgan
|
US 2YR TREAS NTS FUT (CBT)
|
2015 MAR 31
|
53,438
|
|||||||
JPMorgan Chase Bank NA
|
CDS SP UL PEOPLE'S REPUBLIC O
|
R 100BPS 2019 DEC 20
|
6,166
|
|||||||
JPMorgan Chase Bank NA
|
CDS_SP UL PEOPLE'S REPUBLIC O
|
R 100BPS 2019 DEC 20
|
-
|
|||||||
JPMorgan Chase Bank NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
GBP USD 2/19/2015
|
30,835
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Derivatives (continued): | ||||||||||
JPMorgan Chase Bank NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD EUR 1/2/2015
|
$ |
(637
|
)
|
|||||
JPMorgan Chase Bank NA
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD MXN 2/5/2015
|
(477
|
)
|
||||||
Merrill Lynch International/United Kingdom
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
JPY USD 1/7/2015
|
146
|
|||||||
Merrill Lynch, Pierce, Fenner & Smith Inc
|
90DAY EURODOLLAR FUTURE (CME)
|
2017 JUN 19
|
(78,065
|
)
|
||||||
Morgan Stanley Capital Services LLC
|
IRS P USD 10Y 51BPS R 2.3%
|
CALL FEB 15 002.300 ED 2/18/15
|
(112,727
|
)
|
||||||
Morgan Stanley Capital Services LLC
|
IRS R 2.75% P 10Y MYC 02/20/25
|
PUT FEB 15 002.750 ED 02/18/15
|
(7,959
|
)
|
||||||
Royal Bank of Canada
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
MXN USD 2/5/2015
|
62,566
|
|||||||
Royal Bank of Scotland PLC/The
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
ILS USD 3/18/2015
|
(228,136
|
)
|
||||||
Royal Bank of Scotland PLC/The
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
NOK USD 3/18/2015
|
281,168
|
|||||||
Royal Bank of Scotland PLC/The
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD AUD 3/18/2015
|
(273,391
|
)
|
||||||
Royal Bank of Scotland PLC/The
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD HKD 1/5/2015
|
702
|
|||||||
Royal Bank of Scotland PLC/The
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD ILS 3/18/2015
|
204
|
|||||||
Royal Bank of Scotland PLC/The
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD NOK 3/18/2015
|
(130
|
)
|
||||||
Royal Bank of Scotland PLC/The
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD NZD 3/18/2015
|
316,876
|
|||||||
State Street Corp
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD HKD 1/2/2015
|
44
|
|||||||
Toronto Dominion Bank
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
HKD USD 1/5/2015
|
(96
|
)
|
||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
DKK USD 3/18/2015
|
300,623
|
|||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
HKD USD 3/18/2015
|
2,244
|
|||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
SEK USD 3/18/2015
|
463,603
|
|||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
SGD USD 3/18/2015
|
190
|
|||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD CAD 3/18/2015
|
(1,007,852
|
)
|
||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD DKK 3/18/2015
|
(452,907
|
)
|
||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD HKD 3/18/2015
|
(33
|
)
|
||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD SEK 3/18/2015
|
(11,464
|
)
|
||||||
UBS AG/Stamford CT
|
FUTURE FOREIGN EXCHANGE CONTRACTS
|
USD SGD 3/18/2015
|
(83
|
)
|
||||||
Total Derivatives
|
$
|
6,442,939
|
Self-Directed Brokerage Accounts:
|
|||||||||||
SELF DIRECTED BROKERAGE ACCOUNTS
|
Various
|
$
|
491,069,871
|
||||||||
Pooled Separate Accounts:
|
|||||||||||
AMERICAN FUNDS GROWTH FUND
|
17,241
|
units
|
$
|
391,347
|
|||||||
AMERICAN FUNDS NEW PRSPCTV
|
5,590
|
units
|
130,023
|
||||||||
BLACKROCK MD CAP VAL OPPORT FUND
|
2,587
|
units
|
70,457
|
||||||||
DAVIS NEW YORK VENTURE FUND
|
13,651
|
units
|
224,303
|
||||||||
DODGE & COX INTERNATIONAL STOCK FUND
|
11,756
|
units
|
133,967
|
||||||||
FRANKLIN RISING DIVIDENDS FUND
|
12,777
|
units
|
260,258
|
||||||||
FRANKLIN SMALL CAP VALUE VIP FUND
|
6,488
|
units
|
149,677
|
||||||||
LAZARD EMERGING MKTS EQTY PORT OPN
|
12,627
|
units
|
200,107
|
||||||||
LORD ABBETT DEVELOPING GRIWTH FUND
|
8,359
|
units
|
289,354
|
||||||||
LORD ABBETT GROWTH OPPORT FUND
|
14,945
|
units
|
371,569
|
||||||||
MASSACHUSETTS INVESTORS TRUST
|
4,292
|
units
|
100,699
|
||||||||
MFS EMERGING MARKETS DEBT FUND
|
2,418
|
units
|
29,449
|
||||||||
PIMCO COMMODITY REAL RETURN STRAT FUND
|
445
|
units
|
3,497
|
||||||||
PIMCO VIT REAL RETURN PORTFOLIO ADM
|
3,933
|
units
|
58,052
|
||||||||
PIONEER HIGH YIELD FUND
|
959
|
units
|
17,725
|
||||||||
ROYCE VALUE FUND
|
1,871
|
units
|
53,041
|
||||||||
T ROWE PRICE SCIENCE & TECHNOLOGY FUND
|
15,350
|
units
|
369,887
|
||||||||
TEMPLETON GLOBAL BOND FUND
|
20,423
|
units
|
229,222
|
||||||||
VANGUARD VIF - DIVERSIFIED VAL PORT
|
24,875
|
units
|
513,764
|
Hewlett-Packard Company 401(k) Plan
EIN: 94-1081436 PN: 004
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) (continued)
December 31, 2014
|
|||||||||||
(a)
|
(b)
Identity of Issue, Borrower,
Lessor, or Similar Party
|
(c)
Description of Investment, Including
Maturity Date, Rate of Interest, Collateral,
and Par or Maturity Value
|
(e)
Current Value
|
Pooled Separate Accounts (continued): | |||||||||||
VANGUARD VIF - EQUITY INCOME PORT
|
4,858
|
units
|
$ |
107,276
|
|||||||
VANGUARD VIF - SMALL COMP GROWTH PORT
|
8,498
|
units
|
211,752
|
||||||||
* |
VOYA AGGREGATE BOND PORTFOLIO
|
1,165
|
units
|
18,886
|
|||||||
* |
VOYA DIVERSIFIED INTERNATIONAL FUND
|
20,321
|
units
|
231,686
|
|||||||
* |
VOYA FIDELITY VIP CONTRAFUND PORT SRV
|
22,457
|
units
|
151,177
|
|||||||
* |
VOYA FIXED ACCOUNT
|
2,782
|
units
|
311,035
|
|||||||
* |
VOYA GROWTH AND INCOME PORTFOLIO
|
8,295
|
units
|
149,862
|
|||||||
* |
VOYA INDEX PLUS MIDCAP PORTFOLIO
|
14,561
|
units
|
344,223
|
|||||||
* |
VOYA MONEY MARKET PORTFOLIO
|
2,035
|
units
|
22,440
|
|||||||
* |
VOYA SOLUTION 2015 PORTFOLIO ADV
|
12,481
|
units
|
193,050
|
|||||||
* |
VOYA SOLUTION 2025 PORTFOLIO ADV
|
26,597
|
units
|
429,381
|
|||||||
* |
VOYA SOLUTION 2035 PORTFOLIO ADV
|
12,281
|
units
|
207,783
|
|||||||
* |
VOYA SOLUTION 2045 PORTFOLIO ADV
|
31,550
|
units
|
549,867
|
|||||||
* |
VOYA SOLUTION 2055 PORTFOLIO ADV
|
3,484
|
units
|
56,245
|
|||||||
* |
VOYA SOLUTION INCOME PORTFOLIO ADV
|
1,716
|
units
|
26,225
|
|||||||
* |
VOYA T ROWE PRICE CAPTL APPREC PT SRV
|
10,407
|
units
|
239,490
|
|||||||
Total Pooled Separate Accounts
|
$
|
6,846,776
|
|||||||||
Total Investments |
$
|
17,363,478,590
|
|||||||||
* |
Participant Loans
|
Interest rates ranging from 3.25% to 11.00% and maturity dates through November 2037
|
$ |
227,913,566
|
|||||||
|
|
||||||||||
* Party-in-interest
|
|||||||||||
NOTE: Column (d) cost, has been omitted as all investments are participant-directed.
|
HEWLETT-PACKARD COMPANY 401(k) PLAN | |||
June 24, 2015
|
By:
|
/s/ Rishi Varma | |
Rishi Varma | |||
Senior Vice Presient,
Deputy General Counsel
and Assistant Secretary
|
|||