Form 11-K
Table of Contents

 

 

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 

 

FORM 11-K

 

 

 

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

For the fiscal year ended December 31, 2011

 

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

For the Transition Period from              to             

 

Commission File Number 0-14278

 

 

 

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

MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

 

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

Microsoft Corporation

One Microsoft Way

Redmond, Washington 98052-6399

REQUIRED INFORMATION

The Microsoft Corporation Savings Plus 401(k) Plan (the Plan) is subject to the Employee Retirement Income Security Act of 1974 (ERISA). Therefore, in lieu of the required information outlined as Items 1-3 of the Form 11-K, the statements of net assets available for benefits and the related statements of changes in net assets available for benefits for 2011 and 2010, which have been prepared in accordance with the financial reporting requirements of ERISA, are attached hereto as Appendix 1 and incorporated herein by this reference.

 

 

 


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SIGNATURES

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

 

    Microsoft Corporation Savings Plus 401(k) Plan

Date: June 22, 2012

      /s/ Lisa Brummel
      Lisa Brummel
      Member of 401(k) Administrative Committee

 

Date: June 26, 2012

      /s/ William J. Sample
      William J. Sample
      Member of 401(k) Administrative Committee

 

      /s/ George Zinn
      George Zinn
      Member of 401(k) Administrative Committee

 


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APPENDIX 1

MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM;

FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2011 AND 2010;

NOTES TO FINANCIAL STATEMENTS; AND

SUPPLEMENTAL SCHEDULE OF ASSETS HELD AT END OF YEAR AS OF DECEMBER 31, 2011


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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

TABLE OF CONTENTS

 

     Page

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

   1

FINANCIAL STATEMENTS:

  

Statements of Net Assets Available for Benefits as of December 31, 2011 and 2010

   2

Statements of Changes in Net Assets Available for Benefits for the years ended December 31, 2011 and 2010

   3

Notes to Financial Statements

   4-10

SUPPLEMENTAL SCHEDULE:

  

Supplemental Schedule of Assets Held at End of Year as of December 31, 2011

   12

EXHIBITS:

  

Consent of Deloitte & Touche LLP

   44


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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

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

We have audited the accompanying statements of net assets available for benefits of Microsoft Corporation Savings Plus 401(k) Plan (the “Plan”) as of December 31, 2011 and 2010, and the related statements of changes in net assets available for benefits for the years ended December 31, 2011 and 2010. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

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

In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2011 and 2010, and the changes in net assets available for benefits for the years ended December 31, 2011 and 2010 in conformity with accounting principles generally accepted in the United States of America.

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedule of assets held at end of year as of December 31, 2011, is presented for the purpose of additional analysis and is not a required part of the basic financial statements, but is supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental schedule is the responsibility of the Plan’s management. Such schedule has been subjected to the auditing procedures applied in our audit of the basic 2011 financial statements and, in our opinion, is fairly stated in all material respects when considered in relation to the basic financial statements taken as a whole.

/s/ DELOITTE & TOUCHE LLP

Seattle, Washington

June 27, 2012

 

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS

AS OF DECEMBER 31, 2011 AND 2010

 

     2011      2010  

ASSETS:

     

Cash

   $ 7,126,803       $ 11,710,004   

Investments held by trustee, at fair value

     7,235,505,373         7,003,058,481   

Receivables:

     

Participant loans

     83,951,768         73,955,131   

Other receivables

     9,856,032         7,945,235   

Total receivables

   $ 93,807,800       $ 81,900,366   

Total assets

   $ 7,336,439,976       $ 7,096,668,851   

LIABILITIES:

     

Operating payables

   $ 2,619,877       $ 2,713,544   

Other payables

     7,288,849         4,666,215   

Total liabilities

   $ 9,908,726       $ 7,379,759   

NET ASSETS AVAILABLE FOR BENEFITS

   $ 7,326,531,250       $ 7,089,289,092   

See notes to the Financial Statements.

 

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STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS

FOR THE YEARS ENDED DECEMBER 31, 2011 AND 2010

 

     2011     2010  

ADDITIONS:

    

Net investment (loss) income:

    

Interest and dividends

   $ 77,130,443      $ 50,281,247   

Net (decrease) increase in fair value of investments

     (256,368,362     696,572,179   
  

 

 

   

 

 

 

Net investment (loss) income

     (179,237,919     746,853,426   

Contributions:

    

Participant

     602,090,250        562,587,080   

Employer

     193,289,956        180,696,920   

Transfers in

     2,281,507        9,861,210   
  

 

 

   

 

 

 

Total contributions

     797,661,713        753,145,210   
  

 

 

   

 

 

 

Total additions

     618,423,794        1,499,998,636   

DEDUCTIONS:

    

Benefits paid to participants

     381,181,636        318,543,899   
  

 

 

   

 

 

 

INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS

     237,242,158        1,181,454,737   

NET ASSETS AVAILABLE FOR BENEFITS:

    

Beginning of year

     7,089,289,092        5,907,834,355   
  

 

 

   

 

 

 

End of year

   $ 7,326,531,250      $ 7,089,289,092   
  

 

 

   

 

 

 

See notes to the Financial Statements.

 

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

NOTES TO FINANCIAL STATEMENTS

 

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

The Microsoft Corporation Savings Plus 401(k) Plan (the “Plan”), a defined contribution plan, is sponsored by Microsoft Corporation (the “Company” or “Microsoft”). Participating employers included in the Company are Microsoft Corporation; MSNBC Interactive News, LLC; Microsoft Licensing, GP; MOL Corporation; Vexcel Corporation; Microsoft Online, Inc; Microsoft Payments, Inc; and Microsoft Open Technologies, Inc. The Plan year is January 1 through December 31. The Plan is administered by the 401(k) Administrative Committee and subject to the provisions of the Employee Retirement Income Security Act of 1974. The information below summarizes certain aspects of the Plan. This is a summary only; Plan participants should refer to the Plan Document for more complete information.

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

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

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

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

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

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

ESOP Feature: The Plan includes an Employee Stock Ownership Plan (ESOP) feature for the portion of the Plan designed to invest primarily in Microsoft Common Stock. The ESOP feature allows participants to either reinvest their cash dividends earned on Microsoft Common Stock or receive those dividends in cash. Amounts invested in

 

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Microsoft Common Stock are treated as being held through the ESOP, provided that at the time such amounts were received by the Plan (e.g., through contributions or transfers), the participants whose Plan accounts received such assets were employed by Microsoft or a corporation that is part of the same controlled group of corporations as Microsoft. Participants who are not employed by an employer that is established as a corporation (for example, MSNBC Interactive News, LLC) may not participate in the ESOP but may invest their contributions and earnings in Microsoft Common Stock. Employees that are not eligible to participate in the ESOP feature are not eligible to receive dividends in cash paid directly to them. Instead, dividends paid on contributions and the earnings that accumulate on those contributions will automatically be reinvested in Microsoft Common Stock.

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

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

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

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

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

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

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

Use of Estimates: The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and changes therein, and disclosures of contingent assets and liabilities. Actual results could differ from these estimates.

 

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

Participant Loans: Participant loans are recorded at principal balance plus any accrued but unpaid interest.

Other Receivables and Payables: Other receivables consist primarily of unsettled trades and accrued interest. Other payables consist primarily of unsettled trades and unrealized losses on investments.

Recently Adopted Accounting Guidance: On January 1, 2011, the Plan adopted guidance issued by the Financial Accounting Standards Board (“FASB”) on disclosure requirements related to fair value measurements. The guidance requires the disclosure of roll-forward activities on purchases, sales, issuance, and settlements of the assets and liabilities measured using significant unobservable inputs (Level 3 fair value measurements). Adoption of this new guidance did not have a material impact on the Plan’s financial statements.

Recent Accounting Guidance Not Yet Adopted: In May 2011, the FASB issued guidance to amend the accounting and disclosure requirements related to fair value measurements. The guidance limits the highest-and-best-use measure to nonfinancial assets, permits certain financial assets and liabilities with offsetting positions in market or counterparty credit risks to be measured at a net basis, and provides guidance on the applicability of premiums and discounts. Additionally, the guidance expands the disclosures on Level 3 inputs by requiring quantitative disclosure of the unobservable inputs and assumptions, as well as description of the valuation processes and the sensitivity of the fair value to changes in unobservable inputs. The new guidance will be effective for the Plan beginning January 1, 2012. Other than requiring additional disclosures, the Company does not anticipate material impacts on the Plan’s financial statements upon adoption.

In December 2011, the FASB issued guidance enhancing disclosure requirements about the nature of an entity’s right to offset and related arrangements associated with its financial instruments and derivative instruments. The new guidance requires the disclosure of the gross amounts subject to rights of set-off, amounts offset in accordance with the accounting standards followed, and the related net exposure. The new guidance will be effective for the Plan beginning January 1, 2013. Other than requiring additional disclosures, the Company does not anticipate material impacts on the Plan’s financial statements upon adoption.

NOTE 2: INVESTMENTS

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

 

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Investments that represent 5 percent or more of net assets available for benefits as of December 31, 2011 and December 31, 2010, are as follows:

 

Investments Held by Trustee

   Balance as of
December 31, 2011
     Balance as of
December 31, 2010
 

Fidelity Contrafund

   $ 689,204,966       $ 669,169,587   

Microsoft Common Stock

   $ 685,134,023       $ 758,895,868   

Fidelity Growth Company Fund

   $ 685,010,872       $ 647,911,391   

Vanguard Institutional Index Fund

   $ 563,426,564       $ 544,810,267   

Fidelity Institutional Money Market Fund

   $ 381,175,900         *   

 

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

During 2011 and 2010, the net (depreciation) appreciation in the fair value of investments was as follows:

 

     2011     2010  

Separately managed accounts

   $ (147,857,329   $ 328,879,234   

Microsoft Common Stock

     (49,785,122     (65,872,666

Mutual funds

     (34,813,346     366,443,705   

Brokerage accounts

     (15,718,917     14,695,759   

Collective trusts

     (8,193,648     52,426,147   
  

 

 

   

 

 

 

Total net (depreciation) appreciation in fair value of investments

   $ (256,368,362   $ 696,572,179   
  

 

 

   

 

 

 

NOTE 3: PARTICIPANT LOANS

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

The interest rate for loans is 1 percent plus the prime rate on corporate loans. The range of interest rates for outstanding Primary Residence Loans as of December 31, 2011 was 4.25 percent to 9.44 percent, maturing at various dates through February 2027. The range of interest rates for outstanding General Loans as of December 31, 2011 was 4.25 percent to 9.25 percent, maturing at various dates through January 2017.

Loan repayments are made through after-tax, semi-monthly payroll deductions. If a participant’s employment terminates and the loan balance is not paid in full by the participant within a 60-day grace period, the loan balance will be defaulted and will become taxable income to the participant. Employees who are terminated due to reduction in force or reorganization have 60 days to elect to continue to make loan repayments. Failure of the employee to setup a loan repayment service during this 60-day window results in a default of the loan.

 

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NOTE 4: TAX STATUS

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

We continue to be subject to examination by the IRS for tax years 2004 to 2011.

NOTE 5: PARTY-IN-INTEREST TRANSACTIONS

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

Transactions in Microsoft Common Stock also qualify as party-in-interest transactions. At December 31, 2011 the Plan held 26,391,912 shares of Microsoft Common Stock valued at $685,134,023 and recorded dividend income of $17,999,224 for the year ended December 31, 2011. At December 31, 2010 the Plan held 27,190,823 shares of Microsoft Common Stock valued at $758,895,868 and recorded dividend income of $15,062,951 for the year ended December 31, 2010.

NOTE 6: FINANCIAL INSTRUMENTS

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

 

   

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

 

   

Level 2 – inputs are based upon quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, and model-based valuation techniques (e.g. the Black-Scholes model) for which all significant assumptions are observable in the market or can be corroborated by observable market data for substantially the full term of the assets or liabilities. Where applicable, these models project future cash flows and discount the future amounts to a present value using market-based observable inputs including interest rate curves, foreign exchange rates, and forward and spot prices for currencies and commodities. Our Level 2 non-derivative investments consist primarily of mutual funds and U.S. treasuries and agency securities in our Separately Managed Accounts and collective trusts. Our Level 2 derivative assets and liabilities primarily include certain over-the-counter futures contracts.

 

   

Level 3 – inputs are generally unobservable and typically reflect management’s estimates of assumptions that market participants would use in pricing the asset or liability. The fair values are therefore determined using model-based techniques that include option pricing models, discounted cash flow models, and similar techniques. At the end of 2011 and 2010, the Plan did not hold any financial instruments in Level 3.

 

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Financial Instruments Measured at Fair Value

 

As of December 31, 2011    Level 1      Level 2      Total  

Mutual funds

   $ 3,309,588,308       $ —         $ 3,309,588,308   

Microsoft Common Stock

     685,134,023         —           685,134,023   

Collective trusts

        557,834,174         557,834,174   

Separately managed accounts

        

Mutual funds

     91,674,860         435,838,287         527,513,147   

U.S. government notes and bonds

     80,614,481         14,343,707         94,958,188   

Foreign government bonds

     —           33,775,936         33,775,936   

Corporate notes and bonds

     —           2,302,892         2,302,892   

Common and preferred stock

     1,794,225,045         5,152,301         1,799,377,346   

Derivatives

     169,466         22,644         192,110   

Brokerage accounts

        

Mutual funds

     105,781,651         2,665,597         108,447,248   

Certificates of deposit

     —           2,989,855         2,989,855   

U.S. government notes and bonds

     1,137,653         16,101         1,153,754   

Corporate notes and bonds

     —           705,624         705,624   

Municipal bonds

     —           5,751         5,751   

Common and preferred stock

     110,262,507         530,806         110,793,313   

Derivatives

     —           733,704         733,704   
  

 

 

    

 

 

    

 

 

 

Total

   $ 6,178,587,994       $ 1,056,917,379       $ 7,235,505,373   
  

 

 

    

 

 

    

 

 

 

 

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     Level 1      Level 2      Total  
December 31, 2010                     

Assets

        

Mutual funds

   $ 3,105,165,700       $ —         $ 3,105,165,700   

Microsoft Common Stock

     758,895,868         —           758,895,868   

Collective trusts

     —           439,740,401         439,740,401   

Separately managed accounts

        

Mutual funds

     80,437,243         377,583,981         458,021,224   

U.S. government notes and bonds

     103,221,286         25,351,433         128,572,719   

Foreign government bonds

     898,924         10,203,968         11,102,892   

Corporate notes and bonds

     —           2,727,490         2,727,490   

Common and preferred stock

     1,895,632,486         18,365,105         1,913,997,591   

Derivatives

     —           2,540,113         2,540,113   

Brokerage accounts

        

Mutual funds

     81,525,425         1,791,868         83,317,293   

Certificates of deposit

     —           1,536,881         1,536,881   

U.S. government notes and bonds

     825,747         17,214         842,961   

Corporate notes and bonds

     —           584,745         584,745   

Municipal bonds

     —           5,111         5,111   

Common and preferred stock

     95,396,249         282,326         95,678,575   

Derivatives

     —           500,435         500,435   
  

 

 

    

 

 

    

 

 

 

Total Assets

   $ 6,121,998,928       $ 881,231,071       $ 7,003,229,999   

Liabilities

        

Derivatives

   $ 171,518       $ —         $ 171,518   
  

 

 

    

 

 

    

 

 

 

Total

   $ 6,121,827,410       $ 881,231,071       $ 7,003,058,481   
  

 

 

    

 

 

    

 

 

 

No significant transfers occurred between Level 1 and Level 2 for the years ended December 31, 2011 and 2010.

NOTE 7: DERIVATIVES

Investment managers acting under the Plan use derivative instruments to manage risks related to foreign currencies and interest rates; to enhance investment returns for the Plan; and to facilitate Plan portfolio diversification. Our Plan derivatives consist of over-the-counter foreign exchange forward contracts and exchange-traded futures contracts, as well as put and call options, for which no hedge accounting treatment is applied. The related notional amounts, gross fair values and amounts recognized in earnings were immaterial as of and for the years ended December 31, 2011 and 2010.

NOTE 8: RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500

The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500:

 

     December 31, 2011     December 31, 2010  

Net assets available for benefits per the financial statements

   $ 7,326,531,250     $ 7,089,289,092   

Less benefits payable

     (1,911,951 )     (1,573,331
  

 

 

   

 

 

 

Net assets available for benefits per the Form 5500

   $ 7,324,619,299      $ 7,087,715,761   
  

 

 

   

 

 

 

 

 

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

 

     2011      2010  

Benefits paid to the participants per the financial statements

   $ 381,181,636       $ 318,543,899   

Plus benefits payable at year end

     338,619        1,573,331   
  

 

 

    

 

 

 

Benefits paid to the participants per the Form 5500

   $ 381,520,255       $ 320,117,230   
  

 

 

    

 

 

 

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

 

 

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MICROSOFT CORPORATION SAVINGS PLUS 401(k) PLAN

SUPPLEMENTAL SCHEDULE OF ASSETS HELD AT END OF YEAR

AS OF DECEMBER 31, 2011

 

 

Identity of Issue, borrower, lessor, or similar party    Shares or Units      Cost **    Fair Market Value  

BROKERAGE ACCOUNTS

        

BrokerageLink

     224,829,249          $ 224,829,249   

COMMON COLLECTIVE TRUSTS

        

BlackRock LifePath Index 2020

     8,541,617            89,857,808   

BlackRock LifePath Index 2030

     18,691,877            185,797,260   

BlackRock LifePath Index 2040

     20,719,644            196,007,830   

BlackRock LifePath Index 2050

     5,918,670            54,274,211   

BlackRock LifePath Index Retirement

     2,766,441            31,897,065   

EMPLOYER STOCK

        

Microsoft Common Stock *

     26,391,912            685,134,023   

MUTUAL FUNDS

        

Fidelity Contrafund *

     10,224,076            689,204,966   

Fidelity Growth Company Fund *

     8,476,808            685,010,872   

Fidelity Institutional Money Market Fund *

     381,175,900            381,175,900   

Vanguard Growth Index Fund

     4,326,283            137,532,539   

Vanguard Institutional Index Fund

     4,897,232            563,426,564   

Vanguard Short-Term Bond Index Fund

     26,030,560            276,184,242   

Vanguard Small-Cap Growth Index Fund

     14,383,620            309,679,345   

Vanguard Value Index Fund

     13,061,743            267,373,880   

SEPARATELY MANAGED ACCOUNTS

        

Artisan Mid Cap Account

        

Mutual funds

        

SSBK GOVT STIF FUND

     24,830,630            24,830,835   

Common and preferred stock

        

AGILENT TECHNOLOGIES INC

     382,600            13,364,218   

AKAMAI TECHNOLOGIES INC

     88,700            2,863,236   

ALEXION PHARMACEUTICALS

     58,100            4,154,150   

ALLERGAN INC

     87,382            7,666,897   

ALTERA CORP

     96,900            3,594,990   

AMERIGROUP CORP

     130,500            7,709,940   

ANSYS INC

     153,900            8,815,392   

ARCOS DORADOS HLDGS INC A

     199,800            4,101,894   

ARES CAPITAL CORP

     348,000            5,376,600   

 

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Table of Contents

ARM HOLDINGS PLC SPON ADR

     278,300         7,700,561   

ARUBA NETWORKS INC

     112,700         2,087,204   

ATHENAHEALTH INC

     215,600         10,590,272   

BORGWARNER INC

     123,849         7,894,135   

BROADCOM CORP CL A

     302,220         8,873,179   

CABOT OIL & GAS CORP

     71,000         5,388,900   

CAMERON INTL CORP

     249,000         12,248,310   

CEPHEID INC

     289,400         9,958,254   

CERNER CORP

     196,606         12,042,118   

CHIPOTLE MEXICAN GRILL

     24,991         8,440,460   

CITRIX SYSTEMS INC

     123,300         7,486,776   

COACH INC

     212,900         13,043,319   

CONCUR TECHNOLOGIES INC

     31,000         1,574,490   

COOPER INDU PLC CL A

     105,000         5,716,200   

CORE LABORATORIES NV

     72,300         8,251,688   

CTRIP.COM INTL LTD ADR

     204,500         4,785,300   

DISCOVER FIN SVCS

     442,700         10,669,070   

DRESSER RAND GROUP INC

     257,325         12,843,091   

EDWARDS LIFESCIENCES CORP

     112,400         7,946,680   

ELECTRONIC ARTS INC

     185,300         3,817,180   

FOSSIL INC

     122,800         9,745,408   

GARDNER DENVER INC

     99,600         7,675,176   

GENTEX CORP

     102,000         3,018,180   

GREEN MTN COFFEE ROASTERS

     39,200         1,758,120   

HDFC BANK LTD SPON ADR

     125,700         3,303,396   

IHS INC CL A

     186,400         16,060,224   

INCYTE CORP

     223,200         3,350,232   

INTUITIVE SURGICAL INC

     10,889         5,041,716   

IPG PHOTONICS CORP

     111,200         3,766,344   

JUNIPER NETWORKS INC

     326,892         6,671,866   

LKQ CORP

     299,681         9,014,404   

LULULEMON ATHLETICA INC

     69,000         3,219,540   

MEAD JOHNSON NUTRITION CO

     59,600         4,109,776   

MERCADOLIBRE INC

     68,300         5,438,398   

METTLER-TOLEDO INTL INC

     52,600         7,769,546   

NETFLIX INC

     15,600         1,080,924   

NEW ORIENTL ED&TECH GR IN

     197,600         4,752,280   

NOBLE ENERGY INC

     88,500         8,353,515   

OPENTABLE INC

     78,900         3,087,357   

PALL CORP

     72,700         4,154,805   

PRECISION CASTPARTS CORP

     73,578         12,127,126   

QLIK TECHNOLOGIES INC

     248,900         6,023,380   

RALPH LAUREN CORP

     58,100         8,034,068   

 

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Table of Contents

RED HAT INC

     167,605         6,920,410   

REGENERON PHARMACEUTICALS

     254,800         14,123,564   

ROPER INDUSTRIES INC

     85,740         7,448,234   

SALESFORCE.COM INC

     125,100         12,692,646   

SINA CORP

     61,200         3,182,400   

STARWOOD HTLS & RESRT WRL

     165,000         7,915,050   

TERADATA CORP

     155,200         7,528,752   

TESLA MOTORS INC

     80,600         2,301,936   

TRACTOR SUPPLY CO.

     69,800         4,896,470   

TREEHOUSE FOODS INC

     92,300         6,034,574   

TRIMBLE NAVIGATION LTD

     284,023         12,326,598   

ULTA SALON COSMETICS & FR

     82,500         5,355,900   

UNDER ARMOUR INC CL A

     40,000         2,871,600   

UNIVERSAL DISPLAY CORP

     148,300         5,441,127   

VERISK ANALYTICS INC

     257,900         10,349,527   

VMWARE INC CL A

     121,200         10,082,628   

WOODWARD INC

     39,000         1,596,270   

WYNN RESORTS LTD

     31,600         3,491,484   

Artisan Mid Cap Account Total

     34,979,711       $ 505,950,290   

Oakmark Equity & Income Account

     

Corporate notes and bonds

     

CABMT 2011-4A A2 1ML+55 1

     300,000         300,127   

CHIRON MERGER 10.5 1 144C

     1,200,000         1,195,950   

ONEBEACON US HLDGS 5.875

     86,000         89,039   

SEALED AIR 5.625 7/1 144A

     600,000         639,192   

Foreign government bonds

     

ASML HLDGS NV 5.75 6/13/1

     250,000         354,790   

CANADA GOVT 1.5% 12/01/12

     2,500,000         2,470,650   

CANADA GOVT BILL 0 1/19/1

     2,450,000         2,433,495   

CANADA GOVT I/L 4.25 12A

     575,000         1,176,356   

CANADA T-BILL 6/07/12

     2,450,000         2,411,970   

CANADA T-BILL 8/30/12

     2,450,000         2,397,195   

CANADA T-BILL 0% 10/25/12

     2,500,000         2,439,563   

CANADA T-BILL 0% 11/22/12

     2,500,000         2,436,531   

CANADA T-BILL 0% 2/16/12

     2,450,000         2,403,305   

CANADA T-BILL 0% 3/15/12

     2,450,000         2,424,962   

CANADA T-BILL 0% 4/12/12

     2,450,000         2,423,244   

CANADA T-BILL 0% 5/10/12

     2,450,000         2,413,881   

CANADA T-BILL 0% 7/05/12

     2,450,000         2,411,775   

CANADA T-BILL 0% 9/27/12

     2,500,000         2,443,148   

CANADA T-BILL 8/02/12

     2,500,000         2,452,980   

NORWAY GOVT 6.5% 5/15/13

     3,675,000         682,091   

 

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Table of Contents

Government notes and bonds

     

USTN .125% 8/31/13

     4,900,000         4,894,197   

USTN .125% 9/30/13

     7,500,000         7,488,320   

USTN .375% 8/31/12

     2,500,000         2,507,605   

USTN .625% 2/28/13

     5,100,000         5,137,265   

USTN 0.625% 6/30/12

     2,400,000         2,406,696   

USTN 1% 1/15/14

     2,450,000         2,497,877   

USTN 1% 9/30/16

     5,000,000         5,065,830   

USTN 1.125% 12/15/12

     2,450,000         2,473,867   

USTN 1.125% 6/15/13

     4,270,000         4,328,775   

USTN 1.375% 10/15/12

     2,450,000         2,481,010   

USTN 1.375% 11/15/12

     2,450,000         2,480,477   

USTN 1.375% 5/15/12

     2,450,000         2,466,313   

USTN 1.375% 9/15/12

     2,450,000         2,481,528   

USTN 1.5% 7/15/12

     2,450,000         2,485,447   

USTN 2.875% 1/31/13

     11,500,000         11,972,572   

USTN TII 1.25% 7/15/20

     11,125,000         13,128,555   

USTN TII 1.375% 7/15/18

     12,000,000         14,343,707   

USTN TII 1/15/19

     5,000,000         6,318,146   

Mutual funds

     

SSBK GOVT STIF FUND

     22,907,579         22,907,723   

Common and preferred stock

     

APACHE CORP

     127,000         11,503,660   

ARRIS GROUP INC

     112,550         1,217,791   

BARD C R INC

     70,059         5,990,045   

BOSTON SCIENTIFIC CORP

     1,060,000         5,660,400   

BROADRIDGE FINANCIAL SOL

     167,375         3,801,086   

CARTERS INC

     57,000         2,269,170   

CENOVUS ENERGY INC

     516,950         17,162,740   

CIMAREX ENERGY CO

     104,500         6,468,550   

CONCHO RESOURCES INC

     84,775         7,947,656   

CVS CAREMARK CORP

     150,500         6,137,390   

DIAGEO PLC SPON ADR

     161,900         14,153,298   

DOVER CORP

     160,500         9,317,025   

ENCANA CORP (US)

     240,000         4,447,200   

FLOWSERVE CORP

     91,400         9,107,096   

FOOT LOCKER INC

     70,500         1,680,720   

GENERAL DYNAMICS CORPORAT

     206,450         13,710,345   

HOSPIRA INC

     224,500         6,818,065   

HSN INC

     25,200         913,752   

INTL BUS MACH CORP

     86,725         15,946,993   

ITT CORP

     —           —     

L 3 COMM HLDGS INC

     94,800         6,321,264   

 

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Table of Contents

LABORATORY OF AMER HLDGS

     120,900         10,393,773   

LEGGETT & PLATT INC

     57,500         1,340,900   

MARTIN MARIETTA MATERIALS

     55,000         4,147,550   

MASTERCARD INC CL A

     21,100         7,866,502   

MINE SAFETY APPLIANCES CO

     6,900         228,528   

MOHAWK INDUSTRIES INC

     61,250         3,665,813   

NESTLE SA REG ADR

     273,400         15,777,914   

OMNICARE INC

     129,400         4,457,830   

PATTERSON-UTI ENERGY INC

     134,800         2,693,304   

PENTAIR INC

     96,600         3,215,814   

PEPSICO INC

     146,000         9,762,290   

PHARMERICA CORP

     45,300         687,654   

PHILIP MORRIS INTL INC

     156,500         12,402,625   

QUEST DIAGNOSTICS INC

     163,000         9,463,780   

RANGE RESOURCES CORP

     60,000         3,716,400   

ROCKWELL AUTOMATION INC

     119,000         8,731,030   

SARA LEE CORP

     300,250         5,726,471   

SCRIPPS NETWORK INTE CL A

     161,000         6,829,620   

STERIS CORPORATION

     66,000         1,968,120   

TE CONNECTIVITY LTD

     157,000         4,837,170   

TELEDYNE TECHNOLOGIES INC

     25,250         1,384,963   

TEXAS INSTRUMENTS INC

     352,000         10,246,720   

TJX COMPANIES INC NEW

     138,000         8,907,900   

TRACTOR SUPPLY CO.

     48,500         3,402,275   

ULTRA PETROLEUM CORP

     44,000         1,303,720   

UNITEDHEALTH GROUP INC

     286,825         14,536,291   

VARIAN MEDICAL SYS INC

     131,100         8,800,743   

VCA ANTECH INC

     68,000         1,343,000   

WALTER ENERGY INC

     100,500         6,086,280   

XYLEM INC

     24,500         629,405   

Oakmark Equity & Income Account Total

     157,500,838       $ 478,994,785   

PIMCO Total Return Account

     

Mutual funds

     

HIGH YIELD PORTFOLIO INST

     1,036,971         7,445,450   

PAPS SR FLOATNG RATE PORT

     81,976         809,107   

PIMCO ASSET BACK SECS POR

     835,759         8,566,525   

PIMCO EMMERG MKTS FD INST

     1,277,607         12,609,977   

PIMCO INTL PORT FUND(UNLI

     6,803,155         35,036,247   

PIMCO INV GRD PORT(UNLST)

     5,912,779         60,487,733   

PIMCO MTG PORT INSTL CL(U

     12,623,705         137,977,099   

PIMCO MUNI SECTR PORT INS

     514,248         4,329,969   

PIMCO PRIV EM LOC CURR SF

     542,432         2,891,163   

 

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Table of Contents

PIMCO REAL RETRN BD FD IN

     5,272,948        50,145,740   

PIMCO SHORT TERM PORT INS

     945,399        8,262,783   

PIMCO SHORT TM FLT NAV PO

     3,295,674        32,979,889   

PIMCO US GOVT SECTOR PORT

     8,510,493        74,296,604   

SSBK GOVT STIF FUND

     463,587        463,591   

PIMCO Total Return Account Total

     48,116,733      $ 436,301,877   

Russell International Growth Account

    

Mutual funds

    

SSBK GOVT STIF FUND

     9,637,625        9,637,720   

SSBK STIF FUND

     7,170,934        7,171,503   

Derivatives

    

CAC40 10 EURO FUT JAN12 C

     25        —     

CURRENCY CONTRACT—AUD

     (11,885     7,349   

CURRENCY CONTRACT—CAD

     38,128        (8,769

CURRENCY CONTRACT—EUR

     (1,693,906     (202,323

CURRENCY CONTRACT—GBP

     (1,280,698     (14,054

CURRENCY CONTRACT—HKD

     4,565,630        539   

CURRENCY CONTRACT—JPY

     306,003,708        37,612   

CURRENCY CONTRACT—NOK

     1,071,568        509   

CURRENCY CONTRACT—USD

     (55,280,960     23,872   

DAX INDEX FUT MAR12 GXH2

     5        —     

EURO STOXX 50 FUT MAR12 V

     98        —     

FTSE 100 IDX FUT MAR12 Z

     36        15,376   

FTSE/MIB IDX FUT MAR12 ST

     3        66,762   

HANG SENG IDX FUT JAN12 H

     4        3,734   

IBEX 35 INDEX FUT JAN12 I

     4        —     

S&P/TSX 60 IX FUT MAR12 P

     12        19,089   

SPI 200 FUT MAR12 XPH2

     12        (4,909

TOPIX INDX FUT MAR12 TPH2

     35        29,559   

Common and preferred stock

    

AAREAL BANK AG

     49,419        894,592   

ABB LTD (REG) (SWIT)

     136,911        2,577,423   

ADECCO SA (UNITARY REGD)

     35,321        1,479,935   

ADIDAS AG

     55,212        3,603,919   

AGGREKO PLC

     36,987        1,158,693   

AGILE PROPERTY HLDGS LTD

     1,882,000        1,686,545   

AIA GROUP LTD

     276,000        861,767   

AIRASIA BHD

     699,500        831,897   

AIXTRON SE

     93,347        1,212,060   

ALCATEL-LUCENT

     719,852        1,124,654   

ALLIED IRISH BANKS PLC

     —          317   

ALMACENES EXITO SA

     66,618        874,952   

 

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Table of Contents

AMADEUS IT HLDGS SA CL A

     264,414         4,290,198   

AMERICA MOVIL SPON ADR SE

     13,400         302,840   

ANGLO AMER PLC (UK)

     51,969         1,920,225   

ANGLO IRISH BANK CORP PLC

     —           900   

ANHEUSER BUSCH INBEV NV

     32,963         2,018,377   

ANHUI CONCH CEMENT CO H

     168,500         500,080   

ARCOS DORADOS HLDGS INC A

     22,500         461,925   

ARM HOLDINGS PLC

     418,525         3,848,190   

ASM INTL NV (NETH)

     —           1,691   

ASML HOLDING NV (NETH)

     14,948         628,349   

AXA SA

     87,172         1,133,432   

AXIATA GROUP BERHAD

     274,600         445,250   

B2GOLD CORPORATION

     104,700         318,706   

BAIDU INC SPON ADR

     9,260         1,078,512   

BANCO BILBAO VIZ ARGENTAR

     —           846   

BANCO BRADES SA PFD SPON

     56,500         963,089   

BANCO SANTANDER SA (SPAIN

     456,517         3,468,675   

BANK MANDIRI (PERSERO) PT

     988,000         735,484   

BANK OF NOVA SCOTIA(USD)

     35,381         1,780,385   

BANK RAKYAT INDONESIA TBK

     754,000         561,290   

BANPU PUB CO LTD—NVDR

     26,000         449,241   

BARRICK GOLD CORP (USD)

     40,400         1,828,100   

BAYER AG

     98,335         6,300,834   

BEBIDAS DAS AM(CIA) PFD S

     21,900         790,371   

BEIERSDORF AG

     80,580         4,589,804   

BEIJING ENTERPRISES HLDGS

     62,500         375,003   

BELLE INTERNATION HLDGS

     632,000         1,101,805   

BG GROUP PLC

     157,126         3,359,214   

BHP BILLITON LTD

     40,905         1,439,840   

BMW AG (BAYER MTR WKS) (G

     24,446         1,651,008   

BOSCH CORPORATION

     —           850   

BOSS (HUGO) AG PFD

     11,837         871,811   

BRASIL FOODS SA SPON ADR

     22,600         445,875   

BRIDGESTONE CORP

     95,100         2,168,525   

BRILLIANCE CH AUTO HLDG

     612,000         660,335   

BRITISH SKY BROADCAST GRP

     103,228         1,174,407   

BS FINANCIAL GROUP INC

     52,580         499,986   

BURBERRY GROUP PLC

     80,648         1,493,081   

CAE INC

     95,100         923,546   

CAMECO INC

     85,651         1,554,404   

CANAD NATL RAIL CO (USD)

     69,810         5,484,274   

CANADIAN NATL RESOURCES

     19,600         735,962   

CANON INC

     57,100         2,574,378   

 

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Table of Contents

CAPCOM CO LTD

     38,900         918,862   

CATCHER TECH CO(CITI)WT 1

     32,600         151,240   

CEMIG NON-VTG PREF SPON A

     84,988         1,568,194   

CETIP SA MERCADOS ORGANIZ

     39,424         572,467   

CHECK POINT SOFTWARE TECH

     19,900         1,045,546   

CHINA CONSTRUCTION BANK H

     1,364,450         952,195   

CHINA LONGYUAN POWER GROU

     2,023,000         1,581,079   

CHINA MERCHANTS BANK CO H

     240,500         486,165   

CHINA MOBILE LIMITED

     85,000         830,672   

CHINA RESOURCES LAND LTD

     1,088,000         1,748,286   

CHINA SHENHUA ENERGY CO H

     163,500         709,442   

CHINA UNICOM (HONG KONG)

     832,000         1,750,429   

CHINATRUST FI(JPMS)(CWT)3

     850,713         530,906   

CHIYODA CORP

     67,000         681,622   

CIA HERING SA

     43,700         761,326   

CLICKS GROUP LTD

     93,090         533,106   

CLUB MEDITERRANEE SA

     69,858         1,189,982   

CNOOC LTD

     415,000         725,633   

COCA COLA AMATIL LTD

     73,103         860,474   

COGNIZANT TECH SOLUT CL A

     8,800         565,928   

COLOPLAST AS CL B

     3,384         489,047   

COMPASS GROUP PLC

     753,862         7,153,959   

COPA HOLDINGS SA CL A

     33,400         1,959,578   

CREDICORP LTD (USA)

     5,080         556,108   

CSR CORP LTD H

     333,000         190,369   

CTRIP.COM INTL LTD ADR

     35,400         828,360   

DANONE NEW

     118,111         7,425,521   

DAVIDE CAMPARI SPA MILANO

     156,482         1,042,121   

DENA CO LTD

     14,600         438,009   

DENSO CORP

     139,800         3,861,688   

DEUTSCHE BOERSE AG

     —           61,977   

DEUTSCHE BOERSE-(ACCEPTNC

     25,381         1,330,882   

DIALOG SEMICONDUCTOR PLC

     44,081         717,795   

DNB ASA

     50,918         498,541   

DR REDDYS LABS LTD ADR

     13,200         388,476   

DUFRY GROUP

     9,585         882,312   

ECORODOVIAS INFRAEST E LO

     62,700         469,442   

ELAN CORP PLC ADR

     35,460         487,220   

ELRINGKLINGER AG

     17,478         433,919   

E-MART CO LTD

     1,463         351,256   

EMPEROR WATCH & JEWELLERY

     5,870,000         733,126   

ERICSSON CL B ADR

     146,500         1,484,045   

ERSTE GROUP BANK AG

     —           3,491   

 

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Table of Contents

ESSILOR INTL SA(FRAN)

     27,319         1,928,981   

EXEDY CORPORATION

     14,700         424,202   

EXPERIAN PLC

     49,606         679,572   

EXXARO RESOURCES LTD

     22,073         459,364   

FANUC CORPORATION

     16,000         2,448,905   

FIRST CASH FIN SRVS INC

     6,900         242,121   

FIRSTRAND LIMITED

     248,548         638,566   

FOMENTO ECONO MEX(FEMSA)S

     6,170         430,111   

FRESENIUS MED CARE AG & C

     21,695         1,474,305   

GALAXY ENT GROUP LTD

     117,000         214,519   

GEA GROUP AG

     41,562         1,175,483   

GEMALTO NV

     —           1,239   

GENOMMA LAB INTERNACIONAL

     127,700         246,804   

GOLAR LNG LTD (NASDAQ)

     20,500         911,225   

GOLDEN AGRI-RESOURCES LTD

     895,000         493,332   

GRIFOLS

     86,517         1,455,839   

GRIFOLS SA—B

     10,547         114,677   

GRUPO FINANCIERO BANORTE

     139,300         422,451   

GRUPO TELEVISA (CPO) SPON

     19,000         400,140   

GS HOLDINGS CORP

     6,841         304,616   

GUDANG GARAM PT(DEMAT)

     99,500         680,891   

HAIER ELECTRONICS GRP CO

     423,000         378,525   

HDFC BANK LTD SPON ADR

     74,600         1,960,488   

HEINEKEN NV

     98,460         4,558,766   

HENGAN INTL GRP CO LTD

     140,000         1,309,582   

HIWIN TECHNOLOGIES CORP

     168,000         1,364,636   

HOLCIM LTD (REG)

     27,170         1,453,753   

HOME INNS &HO MGT SPON AD

     21,400         552,120   

HON HAI PRECISI(CITI) CWT

     213,000         583,051   

HON HAI PRECISION IND CO

     763,000         2,088,582   

HSBC BANK PLC (CWT) 1/6/2

     27,235         55,126   

HSBC HLDGS PLC (UK REG)

     890,700         6,877,766   

HSBC HLDGS PLC SPON ADR

     42,716         1,651,458   

HYUNDAI MOBIS

     4,228         1,066,969   

HYUNDAI MOTOR CO

     4,010         739,342   

IBERDROLA SA

     —           619   

IBJ LEASING CO LTD

     36,500         810,953   

ICICI BANK LTD SPONS ADR

     139,090         3,676,149   

ILUKA RESOURCES LIMITED

     69,662         1,104,218   

IMPERIAL HLDGS LTD (SOAF)

     21,144         323,475   

IMPERIAL TOBACCO GROUP PL

     58,904         2,227,702   

INDUSTRIAL & COM BK OF CH

     2,689,000         1,596,103   

INFINEON TECHNOLOGIES AG

     122,021         918,602   

 

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Table of Contents

INFOSYS LTD SPON ADR

     76,880         3,950,094   

ING GROEP NV CVA

     580,011         4,174,260   

INPEX CORP

     926         5,835,250   

INTACT FINL CORP

     10,200         586,220   

ITAU UNIBANCO HLDG SA SPO

     130,099         2,433,208   

ITAU UNIBANCO HOLDING SA

     38,300         703,732   

JERONIMO MARTINS & FILHO

     44,293         733,287   

JIANGXI COPPER CO LTD H

     173,000         373,772   

JSC MMC NORILSK NICKL SPO

     40,286         617,584   

JULIUS BAER GRUPPE AG

     155,176         6,070,560   

KASIKORNBANK PCL NVDR

     123,600         477,190   

KB FIN GROUP INC ADR

     15,700         493,488   

KENMARE RESOURCES PLC (UK

     710,249         507,437   

KIA MOTORS CORP

     11,513         664,966   

KOMATSU LTD

     104,400         2,440,273   

KOZA ALTIN ISLETMELERI AS

     32,512         432,918   

LANCASHIRE HOLDINGS LTD

     101,480         1,141,911   

LARGAN PRECISION (UBS AG)

     1,700         31,772   

LARGAN PRECISION CO LTD

     12,000         224,269   

LAWSON INC

     74,900         4,676,080   

LG CHEMICAL LTD

     739         204,037   

LG HOUSEHOLD & HEALTHCARE

     1,176         495,592   

LI & FUNG LTD

     3,352,000         6,206,288   

LINDE AG

     44,338         6,630,409   

LOCALIZA RENT A CAR SA

     38,300         526,234   

LUKOIL OIL CO SPONS ADR (

     10,564         559,795   

LUNDIN PETROLEUM AB

     28,725         706,342   

LVMH

     49,805         7,052,755   

M3 INC

     93         419,294   

MAGNIT OJSC GDR REGS

     19,235         407,013   

MAKITA CORP

     18,500         598,759   

MANULIFE FIN CORP (USD)

     144,862         1,538,434   

MARCOPOLO SA (PN)

     101,900         401,007   

MEGAWORLD CORP

     —           740   

METHANEX CORP

     57,700         1,321,253   

METROPOLITAN BANK & TR CO

     344,128         533,383   

MILLICOM INTL CELL SA SDR

     16,700         1,673,422   

MONADELPHOUS GRP LTD

     23,977         493,344   

MR PRICE GROUP LIMITED

     72,935         720,984   

MTN GROUP LTD

     264,155         4,703,193   

NABTESCO CORP

     33,000         601,559   

NEOPOST SA

     17,482         1,212,672   

NESTLE SA (REG)

     141,692         8,286,554   

 

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Table of Contents

NEW GOLD INC

     44,600         450,204   

NEW GOLD INC(US)

     21,800         219,744   

NEW ORIENTL ED&TECH GR IN

     47,725         1,147,786   

NHN CORP

     2,572         467,013   

NICE SYSTEMS LTD SPON ADR

     43,729         1,506,464   

NOKIAN TYRES PLC

     34,179         1,100,723   

NOVATEK JT STK GDR REGS

     12,695         1,589,414   

NOVO-NORDISK AS CL B

     22,954         2,638,069   

NOVOZYMES A/S B

     34,641         1,069,506   

OGX PETROLEO E GAS PART S

     162,000         1,184,221   

OUTOTEC OYJ

     49,102         2,313,498   

PACIFIC RUBIALES ENERGY

     25,200         463,468   

PDG REALTY SA

     183,900         582,337   

PERRIGO CO (USA)

     7,479         727,707   

PETROBRAS SA SPONS ADR

     46,600         1,158,010   

PETROFAC LTD

     42,240         945,369   

PETROLEUM GEO SVCS ASA

     153,037         1,674,976   

PETRONAS CHEMICALS GROUP

     180,100         352,246   

PHILIP MORRIS INTL INC

     66,050         5,234,463   

PING AN INSURANCE CO H

     220,000         1,450,313   

POSCO SPON ADR

     3,400         283,915   

POTASH OF SASKATCHEWAN

     8,400         347,333   

PRADA SPA

     271,200         1,227,394   

PRUDENTIAL PLC

     180,900         1,793,960   

PTT PCL NVDR

     46,100         463,918   

RAKUTEN INC (TOKYO)

     1,893         2,041,434   

RANDSTAD HOLDINGS NV

     134,149         3,969,467   

REMY COINTREAU SA

     14,201         1,141,324   

RICHEMONT CIE FINANCIERE

     24,261         1,237,209   

RIO TINTO PLC (REGD)

     35,542         1,725,064   

ROCHE HLDGS GENUSSSCHEINE

     8,600         1,545,851   

ROLLS-ROYCE HLDGS CLASS C

     17,742,315         27,556   

ROLLS-ROYCE HOLDINGS PLC

     379,217         4,396,742   

ROYAL DUTCH SHELL PL CL A

     —           3,638   

SA SA INTL HLDGS LTD

     1,288,000         713,105   

SAFRAN (SOCIETE D APPLICA

     64,285         1,930,900   

SAIPEM SPA

     73,691         3,133,418   

SALVATORE FERRAGAMO ITAL

     125,211         1,649,904   

SAMSONITE INTL S.A.

     511,500         802,162   

SAMSUNG ELEC VTG GDR REGS

     4,581         2,119,239   

SAMSUNG ELECTRONICS CO

     2,924         2,672,690   

SAMSUNG ENG CO LTD

     1,955         342,510   

SAMSUNG HEAVY INDS CO LTD

     14,280         347,983   

 

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Table of Contents

SANDS CHINA LTD

     386,800        1,093,176   

SANRIO CO LTD

     29,500        1,515,916   

SANY HEAVY EQUIPMENT CO

     911,000        742,491   

SAP AG

     115,895        6,150,604   

SBERBANK OF RUSSIA (USD)

     241,756        595,682   

SBERBANK SPONSORED ADR

     100,600        999,964   

SCHNEIDER ELECTRIC SA

     146,654        7,722,241   

SCHRODERS PLC (NEW) ORD

     59,822        1,220,871   

SECURITIES PURCHASED PAYA

     (564,563     (564,563

SECURITIES SOLD RECEIVABL

     317,845        317,845   

SEEGENE INC

     12,703        817,679   

SEMEN GRESIK(PERSERO)PT(D

     507,000        640,215   

SES SA A (LUX)

     52,871        1,269,150   

SHANGRI-LA ASIA (HOKO)

     678,000        1,169,778   

SHIN-ETSU CHEMICAL CO LTD

     119,400        5,879,634   

SHIRE PLC

     32,829        1,143,669   

SMC CORP

     7,900        1,274,839   

SNC-LAVALIN GRP INC

     25,900        1,299,069   

SOC QUIMICA Y MIN CH PFD

     33,654        1,812,268   

SOFTWARE AG BEARER

     24,015        887,633   

SSBK GOVT STIF FUND

     1,036,827        1,036,833   

STANDARD CHARTERED PLC (U

     386,177        8,451,052   

SUNCOR ENRGY INC

     77,782        2,242,691   

SWATCH GROUP AG (REG)

     —          5,942   

SXC HEALTH SOLUTIONS CORP

     16,000        903,680   

SYNGENTA AG (SWIT)

     2,515        736,437   

TAIWAN SEMIC MFG CO SP AD

     645,895        8,338,504   

TECHNIP SA

     7,735        727,085   

TECK RESOURCES SUB VTG CL

     —          3,064   

TECNICAS REUNIDAS SA

     —          424   

TELE2 AB B SHS

     37,248        724,834   

TELEFONICA SA

     —          1,155   

TELENOR AS

     199,196        3,267,774   

TEMENOS GROUP AG

     87,912        1,441,564   

TENARIS SA SPON ADR

     12,800        475,904   

TENCENT HOLDINGS LIMITED

     96,200        1,933,513   

TERUMO CORP

     30,100        1,417,690   

TESCO PLC

     341,498        2,139,889   

TEVA PHARMACEUTICAL IND A

     71,524        2,886,709   

TIM PARTICIPACOES SA SPON

     15,200        392,160   

TOYOTA MOTOR CORP

     83,200        2,772,793   

TPK HOLDING (CITI) CWT 1/

     8,900        115,934   

TRACTEBEL ENERGIA SA

     28,200        457,641   

 

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Table of Contents

TRANSURBAN GROUP STAPLED

     252,650        1,489,518   

TURKIYE SINAI KALKINMA BA

     324,277        314,815   

UNILEVER PLC ORD

     66,642        2,238,814   

UNITED TRACTORS PT

     249,000        723,590   

URALKALI JSC GDR REGS

     12,500        450,000   

VALE SA ADR

     79,140        1,697,553   

VALLOUREC SA

     17,635        1,144,989   

VANGUARD MSCI EMERGING MR

     85,100        3,251,671   

VEDANTA RESOURCES PLC

     120,223        1,895,252   

VIRGIN MEDIA INC

     52,200        1,116,036   

VODAFONE GROUP PLC

     —          50,259   

VOPAK (KON) NV

     13,489        712,811   

WACKER CHEMIE AG

     14,143        1,150,603   

WAL MART DE MEXICO SPON A

     55,540        1,521,241   

WANT WANT CHINA HLDGS LTD

     717,000        715,468   

WEST JAPAN RAILWAY CO

     33,700        1,464,646   

WOODSIDE PETROLEUM LTD

     59,583        1,865,755   

WORLEYPARSONS LTD

     85,083        2,233,550   

XSTRATA PLC

     223,253        3,391,741   

YAMAHA MOTOR CO LTD

     —          994   

YARA INTERNATIONAL ASA

     27,465        1,102,283   

ZODIAC AEROSPACE

     13,407        1,136,341   

Russell International Growth Account Total

     342,511,028      $ 446,600,489   

Russell International Value Account

    

Corporate notes and bonds

    

FIRST URANIUM CONV 4.25 6

     128,000        78,584   

Mutual funds

    

SSBK GOVT STIF FUND

     12,077,086        12,077,178   

Derivatives

    

CAC40 10 EURO FUT JAN12 C

     18        —     

CURRENCY CONTRACT—AUD

     (80,611     (15,569

CURRENCY CONTRACT—BRL

     10,692        —     

CURRENCY CONTRACT—CAD

     146,923        (12,444

CURRENCY CONTRACT—CHF

     (659,892     (261,294

CURRENCY CONTRACT—DKK

     1,818,017        (22,016

CURRENCY CONTRACT—EUR

     (1,619,773     (216,424

CURRENCY CONTRACT—GBP

     (2,430,594     (110,142

CURRENCY CONTRACT—HKD

     10,129,805        763   

CURRENCY CONTRACT—ILS

     1,558,655        (16,427

CURRENCY CONTRACT—JPY

     577,309,190        54,569   

CURRENCY CONTRACT—NOK

     306,769        (693

CURRENCY CONTRACT—NZD

     7,105        350   

 

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Table of Contents

CURRENCY CONTRACT—SEK

     4,642,001        (29,022

CURRENCY CONTRACT—SGD

     179,800        (14,080

CURRENCY CONTRACT—USD

     (541,269,427     820,338   

DAX INDEX FUT MAR12 GXH2

     3        —     

EURO STOXX 50 FUT MAR12 V

     66        —     

FTSE 100 IDX FUT MAR12 Z

     26        11,105   

FTSE/MIB IDX FUT MAR12 ST

     2        44,116   

HANG SENG IDX FUT JAN12 H

     3        2,800   

IBEX 35 INDEX FUT JAN12 I

     2        —     

S&P/TSX 60 IX FUT MAR12 P

     8        12,726   

SPI 200 FUT MAR12 XPH2

     8        (3,272

TOPIX INDX FUT MAR12 TPH2

     22        18,580   

Common and preferred stock

    

3I GROUP PLC

     44,873        126,147   

ACCIONA SA

     1,273        109,956   

ACE LTD

     16,700        1,171,004   

ADVANCED INFO SVCS (LOC)

     23,500        104,486   

ADVANTEST CORP

     13,200        125,714   

AEGIS GROUP PLC

     711,590        1,595,917   

AEGON NV

     398,043        1,597,719   

AEGON NV (NY REGD)

     74,332        298,815   

AEON CO LTD

     6,800        93,388   

AGEAS (BELG)

     187,553        291,322   

AHOLD NV (KONINKLIJKE)

     195,059        2,627,100   

AHOLD NV (KONINKLIJKE)SPO

     6,883        92,576   

AISIN SEIKI CO LTD

     7,800        222,350   

AJINOMOTO CO INC

     26,000        312,142   

AKER SOLUTIONS ASA

     6,099        64,203   

AKZO NOBEL NV

     47,103        2,277,844   

ALCATEL-LUCENT

     267,155        417,387   

ALIMENTATION COUCH C CL B

     11,552        359,582   

AMP LTD (POST RECON)

     333,901        1,389,758   

ANGLOGOLD ASHANTI LTD

     20,035        852,268   

ANGLOGOLD ASHANTI SPON AD

     16,718        709,679   

ANHEUSER BUSCH INBEV NV

     6,700        410,252   

ARAB BANK PLC

     30,825        341,389   

ARCELIK AS

     41,832        135,815   

ARKEMA

     3,795        268,700   

ARM HOLDINGS PLC

     68,891        633,428   

ARM HOLDINGS PLC SPON ADR

     1,022        28,279   

ARYZTA AG

     4,275        206,660   

ASML HLDG NV (NY REG SHS)

     11,555        482,883   

ASTRAZENECA PLC (UK)

     35,920        1,659,727   

 

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Table of Contents

ASTRAZENECA PLC SPONS ADR

     10,096         467,344   

AVIVA PLC

     242,984         1,135,191   

AXA SA

     97,362         1,265,925   

BAE SYSTEMS PLC

     723,967         3,205,748   

BALOISE HOLDINGS AG

     4,152         288,199   

BANCA CARIGE SPA

     69,212         132,590   

BANCA MONTE DEI PASCH SIE

     307,803         100,362   

BANCO BILBAO VIZ ARGENTAR

     —           —     

BANCO COMERCIAL PORTUGUE

     1,234,272         217,279   

BANCO ESPIRITO SANTO (REG

     212,569         371,452   

BANCO POPULAR ESPANOL SA

     73,904         336,728   

BANCO SANTANDER SA (SPAIN

     124,473         945,762   

BANCO SANTDR SA UNIT

     21,300         172,384   

BANKERS PETROLEUM LTD

     122,307         533,232   

BANKIA SA

     10,898         50,712   

BANKINTER SA

     65,187         400,796   

BANRO CORP

     43,523         161,545   

BARCLAYS PLC ORD

     294,900         806,351   

BARRICK GOLD CORP (USD)

     27,300         1,235,325   

BEBIDAS DAS AM(CIA) PFD S

     26,320         949,889   

BEBIDAS DAS AMERS (CIA) P

     14,700         530,974   

BEC WORLD PLC (LOC)

     505,800         720,285   

BELGACOM SA

     39,041         1,224,960   

BIM BIRLESIK MAGAZALAR AS

     10,252         285,533   

BNP PARIBAS (FRAN)

     3,587         140,915   

BP PLC

     748,135         5,350,853   

BRASIL FOODS SA SPON ADR

     2,119         41,806   

BRASIL TELECOM SA SPON AD

     4,312         76,710   

BRASILAGRO

     47,200         244,714   

BRIDGESTONE CORP

     41,600         948,587   

BROTHER INDUSTRIES

     14,000         171,896   

BT GROUP PLC

     327,466         984,148   

C.P. ALL PCL (LOC)

     332,000         543,703   

CABLE & WIRELESS WORLDWID

     418,434         110,481   

CANADIAN NATL RAILWAY CO

     2,718         213,912   

CANON INC

     92,100         4,152,368   

CAP GEMINI SA

     49,475         1,546,256   

CARILLION PLC

     163,725         764,903   

CARREFOUR SA (SUPERMARCHE

     95,721         2,182,521   

CATHAY FIN HLDG CO LTD

     331,500         357,935   

CEMIG (CIA ENG MIN GER) P

     7,400         132,137   

CGA MINING LTD (CANA)

     142,685         287,219   

CGI GROUPE CL A SUB VTG

     6,965         131,312   

 

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Table of Contents

CHAODA MODERN AGRIC(HLDGS

     1,354,000         87,168   

CHEUNG KONG INFRASTR HLDG

     36,000         210,903   

CHINA HONGXING SPORTS LTD

     3,613,000         320,314   

CHINA MOBILE LIMITED

     177,000         1,729,753   

CHINA MOBILE LIMITED SPON

     19,547         947,834   

CHINA SHENHUA ENERGY CO H

     34,000         147,529   

CHINA TELECOM SPON ADR H

     2,319         132,484   

CHINA UNICOM (HK) SPON AD

     12,223         258,272   

CHINA UNICOM (HONG KONG)

     370,000         778,436   

CHORUS LTD

     1,452         3,527   

CIELO SA

     2,000         51,739   

CJ CHEILJEDANG CORP

     1,929         486,114   

CNP ASSURANCES

     13,917         172,540   

COCA COLA HELLEN BOTTLNG

     5,717         98,051   

COMPAGNIE GENE DE GEO-VER

     11,614         272,551   

CREDIT AGRICOLE SA

     99,559         561,870   

CREDIT SUISSE GROUP AG

     33,250         781,374   

CRESUD SACIFYA SPON ADR

     32,768         373,228   

DAI ICHI LIFE INSURANCE C

     600         590,138   

DAI NIPPON PRINTING CO

     120,000         1,153,771   

DANSKE BK AS

     56,400         716,454   

DELHAIZE FRER LE LION SPO

     3,683         207,206   

DELHAIZE GROUP

     760         42,699   

DELTA LLOYD NV

     12,074         203,172   

DENSO CORP

     200         5,525   

DEUTSCHE BANK AG (GERW)

     8,800         335,286   

DEUTSCHE BOERSE-(ACCEPTNC

     18,600         975,312   

DEUTSCHE POST AG

     46,300         711,977   

DIA SA(DISTRIBUIDORA INTL

     161,776         731,863   

E.ON AG

     72,095         1,575,510   

EADS NV

     33,725         1,057,166   

EASTERN PLATINUM LTD

     301,918         160,090   

EASTERN TOBACCO CO

     29,791         458,171   

EFG HERMES HOLDINGS SAE

     276,763         458,920   

EGIS PHARMACEUTICALS PLC

     9,833         714,672   

ELETROBRAS (ON)

     40,218         385,084   

ELETROBRAS (ON) SPON ADR

     36,284         387,707   

ELETROBRAS PREF B SPON AD

     —           858   

ELETROPAULO METRO SA PN P

     13,400         265,274   

ELPIDA MEMORY INC

     37,000         172,104   

EMAAR PROPERTIES

     779,837         545,630   

E-MART CO LTD

     832         199,757   

EMBRAER S A SPON ADR

     7,065         178,179   

 

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ENEL (ENTE NAZ ENERG ELET

     403,050         1,640,250   

ENI SPA

     175,913         3,645,506   

ENTERPRISE INNS PLC

     161,434         70,205   

ERSTE GROUP BANK AG

     16,080         282,758   

FABER GROUP BHD

     231,800         130,890   

FEDERAL GRID CO UNIFIED (

     13,184,090         115,371   

FEDERAL HYDROGENERATING A

     198,253         604,672   

FERTILIZANTES HERINGER SA

     23,700         141,193   

FIRST BANK OF NIGERIA PLC

     3,360,843         184,298   

FIRST URANIUM CORP

     44,000         7,129   

FMTC INR UNREALIZED G/L

     1         —     

FORD OTOMOTIVE SANAYII AS

     1,391         11,290   

FRANCE TELECOM SA

     154,000         2,418,962   

FUJI ELECTRIC CO LTD

     57,000         156,266   

FUJI HEAVY INDUSTRIES LTD

     58,000         350,419   

FUJIFILM HOLDINGS CORP

     58,700         1,390,374   

FURUKAWA ELECTRIC CO LTD

     70,000         160,982   

GAFISA SA

     31,300         69,212   

GAM HOLDING LTD

     68,850         747,772   

GAZPROM O A O SPON ADR

     230,828         2,465,474   

GAZPROM O A O SPON ADR (U

     135,625         1,445,763   

GECINA SA

     4,695         395,019   

GENERALI SPA (ASSICURAZIO

     17,543         264,090   

GETINGE AB SER B

     7,820         198,202   

GLAXOSMITHKLINE PLC

     238,916         5,530,682   

GLAXOSMITHKLINE PLC SPONS

     4,394         200,498   

GOLD FIELDS LTD

     37,125         573,022   

GOLD FIELDS LTD SPON ADR

     45,725         697,306   

GP INVESTMENTS LTD BDS

     180,003         383,540   

GRAN COLOMBIA GOLD 8/24/1

     86,474         13,161   

GRAN COLOMBIA GOLD CORP

     295,080         150,669   

GRUMA SAB CL B

     58,667         110,988   

H LUNDBECK AS

     9,194         172,907   

HACHIJUNI BANK LTD

     75,000         427,792   

HANKOOK TIRE CO LTD

     2,316         91,019   

HANNOVER RUECKVERSICHERUN

     2,854         141,581   

HEINEKEN HOLDING NV

     6,752         276,352   

HENKEL AG & CO KGAA ORD

     15,128         732,355   

HINO MOTORS LTD

     58,000         351,926   

HOME RETAIL GROUP PLC

     873,810         1,201,078   

HON HAI PREC IND CO REGS

     76,846         422,653   

HON HAI PRECISION IND CO

     440,264         1,205,147   

HSBC HLDGS PLC (UK REG)

     232,200         1,791,486   

 

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Table of Contents

HUANENG POWER INTL H SPON

     3,570         75,041   

HUANENG POWER INTL INC H

     3,360,000         1,786,728   

HYUNDAI MOBIS

     6         1,524   

HYUNDAI MOTOR CO

     2,946         543,168   

IBERDROLA SA

     312,731         1,958,880   

ICADE REIT

     2,137         168,153   

IMPALA PLATINUM HLDGS LTD

     34,108         707,080   

IMPERIAL TOBACCO GROUP PL

     20,600         779,076   

INDIA CEMENTS LTD (DEMAT)

     248,575         309,224   

INDRA SISTEMAS SA

     133,104         1,694,815   

INDUSTRIAS BACHOCO US SPO

     9,873         188,278   

INFINEON TECHNOLOGIES AG

     111,375         838,457   

ING GROEP NV CVA

     106,008         762,925   

INMARSAT PLC

     46,830         294,355   

INPEX CORP

     16         100,825   

INTESA SANPAOLO SPA

     1,360,235         2,278,331   

INTESA SANPAOLO SPA N/C R

     105,449         131,511   

IRISH BANK RESOLTN CRP LT

     116,000         2   

ISUZU MOTORS LTD

     32,000         148,015   

ITV PLC

     424,560         449,385   

IVANHOE MINES LTD

     5,605         99,321   

JAPAN PETROLEUM EXPLRN CO

     1,700         66,485   

JAPAN TOBACCO INC

     456         2,144,767   

JERONIMO MARTINS & FILHO

     2,533         42,444   

JGC CORP

     2,000         48,022   

JOLLIBEE FOOD CORP

     146,700         302,669   

KAO CORP

     110,000         3,005,652   

KAWASAKI KISEN KAISHA LTD

     75,000         135,451   

KAZKOMMERTSBK SP GDR 144A

     57,221         154,497   

KBC GROUPE SA

     36,916         464,987   

KDDI CORP

     22         141,493   

KIA MOTORS CORP

     28,183         1,627,789   

KINGFISHER PLC

     132,291         515,108   

KINROSS GOLD CORP

     46,300         527,820   

KLCC PROPRETY HLDGS BHD

     206,700         205,396   

KOREA ELECTRIC POWER SPON

     38,210         419,546   

KRKA DD

     4,359         298,477   

KT & G CORP

     3,157         227,949   

KT CORP SPON ADR

     89,100         1,475,991   

LAGARDERE SCA (REG)

     27,725         732,100   

LAWSON INC

     5,300         330,884   

LG DISPLAY CO LTD

     11,360         243,589   

LG ELECTRONICS INC

     3,520         225,873   

 

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Table of Contents

LG ELECTRONICS INC PFD

     37,300         777,063   

LG HOUSEHOLD & HEALTHCARE

     513         216,189   

LINDT & SPRUENGLI AG (REG

     4         133,695   

LINDT & SPRUENGLI AG PART

     44         130,901   

LLOYDS BANKING GROUP PLC

     1,386,989         558,046   

LOTTE SHOPPING CO LTD

     1,258         368,888   

LUKOIL OIL CO SPONS ADR (

     18,243         970,528   

LUKS GROUP(VIETNAM HDGS)C

     710,000         141,697   

MABUCHI MOTOR CO LTD

     26,200         1,108,049   

MAGNA INTERNATIONAL (USD)

     12,000         399,720   

MAGNOLIA FIN 4 3MEURO PER

     100,000         —     

MANDO CORP

     781         139,255   

MEDCO ENERGI INTL TBK PT

     1,389,500         371,606   

MEDIASET SPA

     60,643         167,825   

MEDIOBANCA SPA

     36,083         207,654   

MERCK KGAA

     2,141         213,474   

METRO INC

     2,825         149,794   

MICHELIN CL B (REG)

     3,651         215,853   

MICROSOFT DEL REY GL SEP

     4,917,539         —     

MILLICOM INTL CELL SA SDR

     3,308         331,478   

MIRAE ASSET SECURITIES CO

     8,330         226,162   

MITSUBISHI ELECTRIC ORD

     31,000         297,252   

MITSUBISHI UFJ FINL GRP

     186,300         791,530   

MITSUI OSK LINES LTD

     103,000         398,805   

MORRISON (WM) SUPERMARKET

     27,863         141,164   

MS&AD INSURANCE GRP HLDGS

     87,700         1,624,897   

MUNICH REINSURANCE (REG)

     4,614         566,060   

MURRAY & ROBERTS HLDGS

     82,053         260,716   

NATIONAL GRID PLC

     51,325         509,326   

NATIXIS

     459,668         1,156,669   

NCSOFT CORPORATION

     523         138,726   

NESTE OIL OYJ

     18,847         190,407   

NESTLE SA (REG)

     20,400         1,172,976   

NEWMONT MINING CORP

     20,400         1,224,204   

NEXEN INC (USD)

     33,800         539,420   

NII HOLDINGS INC

     20,668         440,228   

NIKO RES LTD

     10,540         499,781   

NINTENDO CO LTD

     13,300         1,831,742   

NIPPON TELEG & TELEPH SPO

     9,637         244,105   

NIPPON TELEGRAPH & TELEPH

     20,100         1,027,655   

NIPPON YUSEN KK

     126,000         322,510   

NISSAN MOTOR CO LTD ORD

     58,375         524,855   

NISSIN FOOD HLDGS CO LTD

     4,400         172,364   

 

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Table of Contents

NOKIA CORP SPON ADR

     125,937         607,016   

NOKIA OYJ

     308,376         1,505,639   

NOVARTIS AG (REG)

     102,998         5,951,882   

NOVO-NORDISK AS CL B ADR

     15,548         1,792,062   

NTPC LTD

     40,586         123,140   

NTT DOCOMO INC

     1,493         2,744,878   

NTT DOCOMO INC SPON ADR

     2,100         38,535   

OLD MUTUAL PLC (UK)

     196,710         413,980   

ONO PHARMACEUTICAL CO LTD

     4,900         275,034   

OPEN TEXT CORPORATION

     1,282         65,749   

ORASCOM DEVELOPMENT HLDGS

     11,419         174,480   

ORIENTAL WEAVERS GROUP

     48,739         242,533   

ORIX CORP

     6,320         522,253   

OTE (GREEK TELECOM) SA

     52,044         194,013   

OTSUKA HOLDINGS CO LTD

     7,300         205,252   

PAGESJAUNES GROUPE SA

     75,694         274,829   

PAMPA HLDG SA ADR

     20,645         221,934   

PANTALOON RETAIL INDIA

     92,830         231,177   

PCCW LTD

     399,000         137,168   

PETROBRAS ARGENTINA SA AD

     20,400         257,448   

PETROBRAS PN SPON ADR

     38,763         910,543   

PETROBRAS SA SPONS ADR

     20,514         509,773   

PEUGEOT CITROEN SA

     11,925         186,927   

PHILIPS ELEC (KON) NV

     88,355         1,861,890   

PIRELLI & CO

     23,552         198,310   

POLYUS GOLD INTL -SPN GDR

     245,984         725,653   

PORSCHE AUTO HLDG NON-VTG

     7,000         375,774   

PROFARMA DISTRIB DE PRD F

     35,800         206,553   

PRUDENTIAL PLC

     18,176         180,249   

QBE INSURANCE GROUP LTD

     136,156         1,803,157   

REED ELSEVIER NV

     227,018         2,646,726   

REI AGRO LTD (DEMAT)

     737,895         229,657   

RENAISSANCERE HLDGS LTD

     12,500         929,625   

RENAULT SA ORD

     21,299         738,861   

REPSOL YPF SA ORD

     14,467         444,464   

RESEARCH IN MOTION LTD

     12,613         182,889   

RESOLUTION LTD

     64,567         252,110   

ROHM CO LTD

     16,000         746,313   

ROSNEFT OC OJSC GDR REGS

     51,868         342,329   

ROYAL BANK OF SCOTLAND GR

     1,695,250         531,335   

ROYAL DUTCH SHELL PL CL A

     142,224         5,186,231   

ROYAL DUTCH SHELL PL CL B

     35,212         1,342,081   

RWE AG

     79,684         2,800,332   

 

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Table of Contents

SABESP(CIA SANEAM BASIC)S

     4,740         263,781   

SAFARICOM LTD

     16,246,200         563,176   

SAMSUNG ELECTRONICS CO

     1,310         1,197,409   

SAMSUNG ELECTRONICS CO PF

     264         152,490   

SANKYO CO GUNMA (6417)

     6,600         334,009   

SANOFI

     55,531         4,079,152   

SANTEN PHARMACEUTICAL CO

     6,300         259,482   

SAP AG SPON ADR

     546         28,911   

SASOL LTD

     16,445         785,317   

SASOL LTD SPON ADR

     3,313         157,036   

SBERBANK SPONSORED ADR

     10,485         104,221   

SEGA SAMMY HOLDINGS INC

     26,400         570,431   

SEIKO EPSON CORP

     35,100         466,541   

SEKISUI HOUSE LTD

     95,000         843,046   

SEVEN & I HOLDINGS CO LTD

     163,000         4,542,779   

SGS SA (REG)

     331         548,054   

SHIN-ETSU CHEMICAL CO LTD

     45,500         2,240,564   

SHIRE PLC

     10,551         367,567   

SHIRE PLC SPON ADR

     1,663         172,786   

SHISEIDO CO LTD

     47,700         876,964   

SIEMENS AG (REGD)

     21,400         2,048,150   

SILVER STANDARD RESOURCES

     18,091         250,018   

SINGAPORE TELECOM (SING)

     483,000         1,175,896   

SINO FOREST CORP

     42,000         —     

SJM HOLDINGS LIMITED

     8,000         13,061   

SK HYNIX INC

     24,200         459,723   

SK TELECOM (1/9) SPON ADR

     7,682         110,040   

SK TELECOM LTD

     1,650         210,876   

SLC AGRICOLA SA

     11,300         94,005   

SMITH & NEPHEW PLC

     118,100         1,147,336   

SMITH & NEPHEW PLC SPON A

     5,292         254,810   

SOCIETE GENE PARIS CL A

     76,701         1,708,143   

SOFTBANK CORP

     34,300         1,010,305   

SOLIDERE GDR 144A

     19,412         277,397   

ST GOBAIN CIE DE

     50,882         1,953,786   

STARHUB LTD

     95,000         213,121   

STATOIL ASA SPONS ADR

     3,847         98,522   

STMICROELECTRONICS NV (NY

     30,361         181,680   

STORA ENSO AB R 1/10 VTG(

     127,602         764,398   

SUMITOMO MITSUI FINL GROU

     36,600         1,019,560   

SUMITOMO MITSUI TR HLDGS

     151,000         443,396   

SUNCOR ENRGY INC

     17,300         498,759   

SWISS LIFE HLDGS AG (NEW)

     6,036         555,300   

 

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Table of Contents

TAIWAN SEMIC MFG CO SP AD

     129,760         1,675,202   

TAIWAN SEMICONDUCT MFG CO

     368,000         921,063   

TAKEDA PHARMACEUTICAL CO

     59,500         2,613,006   

TDK CORP

     200         8,861   

TE CONNECTIVITY LTD

     44,625         1,374,896   

TELE2 AB B SHS

     26,333         512,431   

TELECOM EGYPT SAE

     168,611         368,494   

TELECOM ITALIA SPA

     1,019,900         1,097,052   

TELECOM ITALIA SPA ADR

     11,573         123,252   

TELECOM ITALIA SPA RISP

     1,402,930         1,256,639   

TELECOM NEW ZEALAND

     48,182         77,650   

TELEFONICA SA

     130,754         2,270,597   

TELEKOM INDO SER B SPON A

     21,032         646,524   

TELEKOM MALAYSIA BHD

     595,600         931,917   

TELENOR AS

     41,395         679,078   

TELSTRA CORP LTD

     677,185         2,306,102   

TELSTRA CORP LTD SPON ADR

     19,936         339,909   

TESCO PLC

     591,825         3,708,484   

TEVA PHARMACEUTICAL IND A

     53,200         2,147,152   

TF-1

     33,499         327,029   

THIRD GEN CO (OGK3) (USD)

     7,164,126         190,871   

THK CO LTD

     60,000         1,182,615   

TIGER BRANDS LTD

     5,292         164,465   

TIM PARTICIPACOES SA SPON

     10,094         260,425   

TOKIO MARINE HOLDINGS INC

     96,700         2,142,188   

TOTAL SA (FRAN)

     75,078         3,838,648   

TOTAL SA SPONS ADR

     8,187         433,254   

TOYOTA MOTOR CORP

     95,900         3,196,044   

TRAVIS PERKINS PLC

     139,300         1,721,094   

TUI TRAVEL PLC

     83,553         215,159   

TURK SISE VE CAM FABRIKAL

     74,667         112,892   

TURKCELL ILETISIM HIZMET

     95,688         450,774   

UBS AG (REGD)

     95,675         1,138,952   

UNIBAIL-RODAMCO

     395         71,018   

UNICREDIT SPA

     83,752         695,983   

UNILEVER NV CVA (BEARER)

     35,000         1,205,256   

UNILEVER PLC ORD

     92,915         3,121,445   

UNIONE DI BANCHE ITALIANE

     25,924         106,238   

UNITED LAB INT HLDGS

     764,000         439,714   

UNITED OVERSEAS BANK (LOC

     170,385         2,005,766   

UNITED PHOSPHORUS LTD

     69,704         166,848   

USIMINAS PN (PFD REG) A S

     103,600         564,373   

VALEO SA

     5,250         208,693   

 

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Table of Contents

VIENNA INSURANCE GROUP AG

     10,645         421,910   

VILLAGE MAIN REEF LTD

     687,489         174,585   

VIVENDI

     26,329         576,638   

VODAFONE GROUP PLC

     1,758,138         5,077,647   

VODAFONE GROUP PLC SPON A

     9,935         309,959   

VOLKSWAGEN AG

     10,757         1,451,426   

WESFARMERS LTD

     59,015         1,780,375   

WOLTERS KLUWER NV

     46,835         809,623   

YAMAHA MOTOR CO LTD

     300         4,264   

ZENITH BANK PLC

     6,730,133         505,071   

ZURICH INSURANCE GROUP AG

     9,995         2,261,553   

Russell Intnational Value Account Total

     166,469,285       $ 296,662,867   

Russell Small/Mid Cap Value Account

     

Mutual funds

     

SSBK GOVT STIF FUND

     8,536,388         8,536,484   

SSBK STIF FUND

     6,049,396         6,049,805   

Derivatives

     

RUSSELL 2000 MINI MAR12 R

     165         (46,200

Common and preferred stock

     

AARONS INC A

     25,770         687,544   

ABERCROMBIE & FITCH CL A

     14,060         686,690   

ACI WORLDWIDE INC

     49,500         1,417,680   

ACXIOM CORP

     50,800         620,268   

AECOM TECHNOLOGY CORP

     39,400         810,458   

AEROPOSTALE INC

     81,700         1,245,925   

AFFILIATED MANAGERS GRP

     29,900         2,868,905   

AFFYMETRIX INC

     94,230         385,401   

AGCO CORP

     49,431         2,124,050   

AKAMAI TECHNOLOGIES INC

     42,866         1,383,714   

ALASKA AIR GROUP INC

     11,190         840,257   

ALBEMARLE CORP

     7,900         406,929   

ALERE INC

     46,651         1,077,172   

ALEXANDER & BALDWIN INC

     24,887         1,015,887   

ALLEGIANT TRAVEL CO

     27,600         1,472,184   

ALLIANCE FINANCIAL CORP

     1,540         48,033   

ALLIED WRLD ASSURNCE HLDG

     13,480         853,351   

ALLOS THERAPEUTICS INC

     74,640         105,989   

ALON USA ENERGY INC

     35,970         313,299   

ALPHATEC HOLDINGS INC

     25,400         43,688   

ALTERRA CAPITAL HLDGS LTD

     34,000         803,420   

AMERICAN EAGLE OUTFITTERS

     155,863         2,400,290   

AMERICAN FINL GROUP OHIO

     23,250         857,693   

 

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Table of Contents

AMERICAN SAFETY INS GRP

     4,330         94,178   

AMERICAS CAR MART INC

     55,100         2,158,818   

AMERIPRISE FINANCIAL INC

     22,726         1,128,119   

AMETEK INC NEW

     16,800         707,280   

ANADIGICS INC

     61,090         133,787   

ANALOGIC CORP

     18,858         1,080,941   

ANDERSONS INC

     32,076         1,405,250   

ARES CAPITAL CORP

     236,438         3,652,967   

ARGO GROUP INTL

     14,810         428,898   

ARKANSAS BEST CORP

     35,420         682,543   

ARRAY BIOPHARMA INC

     37,610         81,238   

ASCENA RETAIL GROUP INC

     28,500         847,020   

ASPEN INSURANCE HLDGS LTD

     64,720         1,715,080   

ASSURANT INC

     22,570         926,724   

ASSURED GUARANTY LTD

     48,980         643,597   

ASTEC INDUSTRIES INC

     28,783         927,100   

ASTEX PHARMACEUTICALS INC

     36,960         69,854   

ATLAS AIR WORLD

     88,300         3,393,369   

ATMEL CORP

     100,900         817,290   

ATWOOD OCEANICS INC

     19,000         756,010   

AURICO GOLD INC

     89,650         718,097   

AUTOLIV INC

     8,800         470,712   

AVERY DENNISON CORP

     27,650         793,002   

AVNET INC

     30,100         935,809   

BALLY TECHNOLOGIES INC

     7,320         289,579   

BANK MARIN BANCORP

     1,800         67,662   

BANK OF THE OZARKS INC

     58,100         1,721,503   

BANKUNITED INC

     28,380         628,049   

BARRETT BUSINES SERVICES

     3,580         71,457   

BIG LOTS INC

     39,400         1,487,744   

BIOMED REALTY TRUST INC

     73,220         1,338,462   

BLACK BOX CORPORATION

     28,550         802,541   

BLACK HILLS CORP

     42,909         1,440,884   

BOOZ ALLEN HAMILTON CL A

     29,940         516,465   

BOSTON PRIVATE FINL HLDG

     171,566         1,362,234   

BRIGGS & STRATTON CORP

     —           11,495   

BRIGHTPOINT INC

     116,950         1,258,382   

BRINKS CO

     61,840         1,662,259   

BRISTOW GROUP INC

     11,450         542,616   

BROADRIDGE FINANCIAL SOL

     44,400         1,008,324   

BUILD A BEAR WORKSHOP INC

     13,810         116,833   

CABOT CORP

     47,890         1,539,185   

CACI INTL INC CL A

     12,350         690,612   

 

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CALIFORNIA WATER SVC GRP

     32,800         598,928   

CALLAWAY GOLF CO

     204,374         1,130,188   

CAMDEN PROPERTY TR—REIT

     12,400         777,852   

CAPITAL CITY BANK GROUP

     4,120         39,346   

CAPITALSOURCE INC

     219,500         1,470,650   

CASH AMERICA INTL INC

     52,000         2,424,760   

CELADON GRP INC

     22,440         265,465   

CENTENE CORP

     17,770         703,514   

CHEMED CORP

     10,100         517,221   

CHEMTURA CORP NEW

     58,500         663,390   

CHICAGO BRIDGE & IRON (NY

     18,350         693,768   

CHRISTOPHER & BANKS CORP

     67,039         156,871   

CIRCOR INTERNATIONAL INC

     31,381         1,108,063   

CITI TRENDS INC

     6,200         54,436   

CITIZENS & NORTHERN CORP

     2,840         52,455   

CITIZENS REPUBLIC BANCORP

     9,300         106,020   

CITY NATIONAL CORP

     7,220         318,980   

CLECO CORP

     21,670         825,627   

CLOUD PEAK ENERGY INC

     72,500         1,400,700   

COGDELL SPENCER INC

     14,410         65,114   

COLUMBUS MCKINNON CORP NY

     7,570         96,063   

COMERICA INC

     25,500         660,450   

COMFORT SYSTEMS USA INC

     17,150         183,848   

COMPUTER SCIENCES CORP

     25,610         612,079   

CON WAY INC

     25,990         757,868   

CONCHO RESOURCES INC

     19,700         1,846,875   

CONMED CORP

     38,741         994,481   

CONN WATER SVC IND

     3,440         93,327   

CONSTELLATION BRANDS CL A

     48,200         996,294   

CONTANGO OIL & GAS CO

     11,800         686,524   

CONVERGYS CORP

     158,700         2,026,599   

COOPER COMPANIES INC

     12,550         885,026   

CORE-MARK HOLDING CO INC

     6,850         271,260   

COURIER CORP

     2,400         28,152   

CRACKER BARREL OLD CTRY S

     6,740         339,763   

CRANE CO

     28,990         1,354,123   

CRAY INC

     26,540         171,714   

CREE INC

     34,048         750,418   

CSG SYSTEMS INTL INC

     28,010         412,027   

CURTISS WRIGHT CORPORATIO

     30,100         1,063,433   

CYNOSURE INC CL A

     77,148         907,260   

CYS INVESTMENTS INC

     98,200         1,290,348   

CYTEC INDUSTRIES INC

     27,523         1,228,902   

 

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DARLING INTL INC

     67,950         903,056   

DEAN FOODS CO

     74,790         837,648   

DELEK US HOLDINGS INC

     47,720         544,485   

DELPHI FIN GROUP CL A

     16,450         728,735   

DIAMONDROCK HOSPITALITY C

     136,800         1,330,682   

DIANA SHIPPING INC

     97,405         728,589   

DIGITAL GENERATION INC

     71,000         846,320   

DONNELLEY R R & SONS CO

     101,400         1,463,202   

DSP GROUP

     12,400         64,604   

DSW INC CL A

     4,270         188,777   

EBIX INC

     49,550         1,095,055   

ELECTRO RENT CORP

     22,041         382,736   

ELECTRO SCIENTIFIC INDS

     107,200         1,552,256   

EMCOR GROUP INC

     63,270         1,696,269   

EMULEX CORP

     68,780         471,831   

ENCORE CAP GROUP INC

     22,800         484,728   

ENDO PHARMACEUTICALS HLDG

     43,900         1,515,867   

ENDURANCE SPECIALTY HLDGS

     37,000         1,415,250   

ENERGY PARTNERS LTD

     38,850         567,210   

ENERSYS INC

     29,100         755,727   

ENTERTAINMENT PPTYS TR RE

     22,700         1,008,107   

ENTROPIC COMM INC

     135,300         691,383   

EQUIFAX INC

     40,500         1,568,970   

EXTRA SPACE STORAGE INC

     30,530         739,742   

EXTREME NETWORKS INC

     51,280         149,738   

EZCORP INC CL A NON VTG

     38,600         1,017,882   

FAIR ISSAC CORP

     18,700         670,208   

FIFTH STREET FINANCE CORP

     75,300         720,621   

FINISH LINE INC CL A

     32,764         631,854   

FIRST BANCORP NC

     5,140         57,722   

FIRST FINANCIAL BANCORP

     64,000         1,098,926   

FIRST INTERSTATE BANCSYS/

     7,720         101,518   

FIRST OF LONG ISLAND CORP

     2,090         55,490   

FLOW INTL CORP

     20,220         70,770   

FMC CORP NEW

     20,500         1,766,895   

FORESTAR GROUP INC

     70,079         1,060,295   

FRANKLIN STREET PPTYS

     96,896         964,115   

FRESH DEL MONTE PRODUCE

     27,760         694,278   

FTI CONSULTING INC

     19,700         835,674   

FULTON FINANCIAL CORP

     81,370         803,122   

FXCM INC CLASS A

     24,010         234,098   

GAIN CAPITAL HOLDINGS INC

     7,430         49,781   

GFI GROUP INC

     38,100         156,972   

 

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GLOBAL PAYMENTS INC

     23,000         1,089,740   

GOVERNMENT PPTYS INCOME T

     36,900         832,095   

GRACE W R & CO

     15,760         723,699   

GRAFTECH INTL LTD

     93,195         1,272,112   

GRANITE CONSTRUCTION INC

     41,360         986,436   

GREIF INC CL A

     13,000         597,610   

GROUP 1 AUTOMOTIVE INC

     14,350         743,330   

GULFMARK OFFSHORE CLASS A

     15,690         659,137   

HANMI FIN CORPORATION

     10,175         75,295   

HARMAN INTL IND INC NEW

     17,020         647,441   

HARRIS CORP

     41,300         1,488,452   

HATTERAS FINANCIAL CORP

     52,800         1,439,856   

HAWAIIAN HLDGS INC

     66,990         388,542   

HCC INSURANCE HLDGS INC

     22,000         608,410   

HEADWATERS INC

     79,560         176,623   

HEALTH NET INC

     26,510         806,434   

HELMERICH & PAYNE INC

     11,380         664,137   

HENRY SCHEIN INC

     22,100         1,423,903   

HERITAGE FIN CORP WASH

     4,260         53,506   

HOME FEDERAL BANCORP MD

     3,800         39,520   

HOSPITALITY PROPERTY TR R

     95,817         2,201,875   

HOT TOPIC INC

     84,700         559,867   

HUDSON VALLEY HLDGS CORP

     3,720         78,938   

HUNT J B TRANSPORT SVCS I

     15,700         707,599   

HURON CONSULTING GROUP

     2,700         104,598   

IAC/INTERACTIVECORP

     87,760         3,738,576   

IBERIABANK CORP

     31,400         1,558,696   

INTEGRATED DEVICE TECH

     112,790         615,833   

INTERACTIVE BROKERS GROUP

     42,890         640,777   

INTERDIGITAL INC

     74,600         3,257,782   

INTERNATIONAL RECTIFIER

     61,589         1,196,058   

INTEVAC INC

     8,120         60,088   

IRIS INTERNATIONAL INC

     8,120         75,922   

ITRON INC

     46,570         1,665,809   

J2 GLOBAL INC

     84,700         2,383,458   

JANUS CAPITAL GROUP INC

     112,310         708,676   

KAMAN CORP

     28,000         769,440   

KAR AUCTION SERVICES INC

     107,200         1,447,200   

KBW INC

     71,325         1,082,714   

KELLY SERVICES INC CL A

     10,364         141,780   

KEMET CORP

     19,300         136,065   

KENNAMETAL INC

     22,050         805,266   

KENNETH COLE PRODUCTIONS

     86,970         921,012   

 

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KEYCORP

     207,161         1,593,068   

KIRBY CORP

     6,950         457,588   

KNIGHT CAP GROUP INC CL A

     172,940         2,044,151   

KOHLBERG CAPITAL CORP

     12,120         78,659   

LAKELAND BANCORP INC

     6,550         56,461   

LANDEC CORP

     13,390         73,913   

LASALLE HOTEL PPTYS REIT

     26,200         637,184   

LAYNE CHRISTENSEN CO

     50,030         1,210,726   

LEAR CORP NEW

     28,600         1,138,280   

LEXMARK INTL INC CL A

     24,010         794,011   

LIBERTY PROPERTY TR—REI

     29,250         917,134   

LIFEPOINT HOSPITALS INC

     16,300         605,545   

LSI CORP

     137,180         816,221   

LTX CREDENCE CORP

     35,440         189,604   

MACK CALI REALTY REIT

     31,010         827,657   

MAIDEN HLDGS LTD

     38,780         342,815   

MAINSOURCE FINACIAL GROUP

     7,720         68,168   

MARTEN TRANSPORT LTD

     9,730         175,043   

MEADOWBROOK INSURANCE GRO

     34,420         367,606   

MEDICAL PPTY TR INC

     74,900         754,243   

MEDICIS PHARMACEUTIC CL A

     17,480         582,608   

MEDLEY CAPITAL CORP

     5,630         58,552   

MENS WEARHOUSE INC

     23,972         776,933   

METHANEX CORP (USD)

     41,100         937,902   

MINDSPEED TECH INC

     36,810         168,590   

MISSION WEST PPTYS INC MD

     1,230         11,866   

MOLEX INC

     34,380         827,183   

MOLINA HEALTHCARE INC

     29,750         664,318   

MPG OFFICE TRUST INC

     22,500         44,775   

MULTIMEDIA GAMES HOLDNG C

     27,420         217,715   

NABORS INDUSTRIES LTD

     56,303         976,294   

NACCO INDUSTRIES INC CL A

     5,320         474,650   

NASH-FINCH CO

     8,530         249,758   

NAVISTAR INTL CORP

     18,580         703,810   

NCR CORP

     38,680         636,673   

NELNET INC CL A

     111,800         2,735,746   

NEWPARK RESOURCES INC

     117,260         1,113,970   

NGP CAPITAL RESOURCES CO

     11,520         84,902   

NORANDA ALUMINIUM HLDGS

     2,150         17,738   

NORTHEAST UTILITIES

     29,960         1,080,657   

NORTHWEST BANCSHARES INC

     110,900         1,379,596   

NOVATEL WIRELESS INC

     35,400         110,802   

NV ENERGY INC

     56,920         930,642   

 

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NVR INC

     1,290         884,940   

OASIS PETROLEUM INC

     45,100         1,311,959   

OCEANFIRST FINANCIAL CORP

     4,890         63,912   

OCWEN FINANCIAL CORP

     97,900         1,417,592   

OIL STATES INTL INC

     13,150         1,004,266   

OLIN CORP

     49,150         965,798   

OM GROUP INC

     66,048         1,478,815   

ONE LIBERTY PROPERTIES

     5,380         90,545   

ORBITAL SCIENCES CORP

     45,040         654,431   

PATTERSON-UTI ENERGY INC

     104,170         2,081,317   

PDL BIOPHARMA INC

     101,480         629,176   

PENN NATIONAL GAMING

     21,740         827,642   

PENNANTPARK INVESTMENT

     66,242         686,930   

PHH CORP

     44,900         480,430   

PINNACLE WEST CAPITAL

     20,800         1,002,144   

PIPER JAFFRAY COS

     49,681         1,003,556   

PLAINS EXPLORATION & PROD

     27,340         1,003,925   

PLUG POWER INC

     13,900         28,356   

PLX TECHNOLOGY INC

     18,070         51,861   

PMC-SIERRA INC

     7,091         39,071   

PNM RESOURCES INC

     39,790         725,372   

POST PROPERTIES—REIT

     19,330         849,360   

PRECISION DRILLING CORP

     99,848         1,024,440   

PRIMORIS SVCS CORP

     6,590         98,586   

PROASSURANCE CORPORATION

     10,150         812,711   

PROGENICS PHARMACEUTICALS

     11,570         98,808   

PROGRESS SOFTWARE CORP

     66,815         1,292,870   

PROTECTIVE LIFE CORP

     31,820         717,859   

QLOGIC CORP

     30,400         456,000   

QUALITY DISTR INC FL

     11,870         133,538   

QUANTA SVCS INC

     29,855         643,077   

QUESTAR CORP

     44,670         887,146   

RADISYS CORP

     13,220         66,893   

RAYMOND JAMES FIN INC.

     68,571         2,131,872   

REALNETWORKS INC

     19,846         148,845   

RELIANCE STEEL & ALUMINUM

     8,300         404,127   

RENT A CTR INC

     8,650         321,434   

REPUBLIC BANCORP KY CL A

     —           772   

RLI CORP

     10,530         767,216   

ROCKWOOD HOLDINGS INC

     10,680         420,472   

ROWAN COMPANIES INC

     36,884         1,118,692   

RTI BIOLOGICS INC

     51,800         229,992   

RTI INTL METALS INC

     36,903         856,519   

 

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RUDOLPH TECHNOLOGIES INC

     14,031         129,927   

RYDER SYSTEM INC

     15,490         823,139   

SAIA INC

     10,510         131,165   

SANDY SPRING BANCORP INC

     8,930         156,722   

SCHOLASTIC CORP

     19,040         570,629   

SEACHANGE INTL INC

     16,640         116,979   

SEALED AIR CORP

     48,470         834,169   

SENSIENT TECH CORP

     34,059         1,290,836   

SIGMA DESIGNS INC

     28,620         171,720   

SIGNET JEWELERS LTD (US)

     20,170         886,673   

SILGAN HOLDINGS INC

     72,100         2,785,944   

SILICON IMAGE INC

     57,630         270,861   

SIX FLAGS ENTERTAINMENT

     58,200         2,400,168   

SKECHERS USA INC CL A

     63,160         765,499   

SMART BALANCE INC

     60,480         324,173   

SMITH & WESSON HLDGS CORP

     36,500         159,140   

SMUCKER (J.M.) CO

     20,000         1,563,400   

SOLAR SENIOR CAPITAL LTD

     3,390         53,393   

SOUTHWEST AIRLINES CO

     159,762         1,368,282   

SPANSION INC CL A

     45,270         374,836   

SPIRIT AIRLINES INC

     37,750         588,900   

STANCORP FINL GROUP INC

     13,900         510,825   

STARWOOD PROPERTY TR INC

     105,600         2,001,120   

STATE BANK FINANCIAL CORP

     17,160         259,288   

STEEL DYNAMICS INC

     25,400         336,550   

STELLARONE CORP

     102,399         1,165,301   

SUN HEALTHCARE GROUP INC

     45,780         177,626   

SUPERIOR ENERGY SVCS INC

     32,821         933,429   

SUPERIOR INDUSTRIES INTL

     40,843         675,543   

SUPERVALU INC

     101,460         823,855   

SUSSER HOLDINGS CORP

     13,240         299,489   

SVB FINL GROUP

     15,930         759,702   

SYMETRA FINANCIAL CORP

     65,560         594,629   

SYNAPTICS INC

     45,600         1,374,840   

SYNNEX CORP

     35,800         1,090,468   

TELECOMMUNICATION SYST A

     40,700         95,645   

TELEDYNE TECHNOLOGIES INC

     48,100         2,638,285   

TELEFLEX INC

     24,600         1,507,734   

TELENAV INC

     10,800         84,348   

TELLABS INC

     186,210         752,288   

TERRITORIAL BANCORP INC

     4,600         90,850   

TESORO CORP

     33,260         776,954   

TESSCO TECHNOLOGIES INC

     4,150         57,353   

 

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TETRA TECHNOLOGIES INC

     91,314         852,873   

TEXAS CAPITAL BANCSHARES

     24,020         735,252   

THL CREDIT INC

     5,760         70,330   

THQ INC

     120,600         91,656   

TMS INTL CORPORATION

     1,000         9,880   

TRIUMPH GROUP INC

     11,400         666,330   

TRW AUTOMOTIVE HLDGS CORP

     12,100         394,460   

TUTOR PERINI CORP

     2,493         30,764   

UNISYS CORP NEW

     11,770         231,987   

UNIT CORP

     43,257         2,007,125   

UNITED FINL BANCORP INC

     5,130         82,542   

UNITIL CORP

     5,920         168,010   

URS CORP NEW

     22,890         803,897   

USEC INC

     204,200         232,788   

UTI WORLDWIDE INC

     30,300         402,687   

VALIDUS HOLDING

     25,750         811,125   

VALUECLICK INC

     51,000         830,790   

VIRGIN MEDIA INC

     68,500         1,464,530   

VIRGINIA COMMERCE BANCORP

     2,960         22,881   

VISHAY INTERTECHNOLOGY

     136,019         1,222,811   

VONAGE HOLDINGS CORP

     88,300         216,335   

VOXX INTERNATIONAL CORP

     11,940         100,893   

WALTER INVT MGT

     11,280         231,353   

WASHINGTON BKG CO OAK HBR

     5,740         68,363   

WASHINGTON FEDERAL INC

     103,652         1,458,384   

WEBSTER FINANCIAL

     37,350         761,567   

WERNER ENTERPRISES INC

     29,700         715,770   

WEST BANCORPORATION INC

     4,760         45,601   

WESTERN REFINING INC

     16,500         219,285   

WHIRLPOOL CORP

     3,910         185,530   

WILLBROS GROUP INC

     18,976         69,642   

WILLIAMS-SONOMA INC

     19,640         756,140   

WILLIS GROUP HOLDINGS PLC

     18,100         706,986   

WINDSTREAM CORP

     61,000         731,390   

WMS INDUSTRIES INC

     47,000         964,440   

WORLD FUEL SERVICES CORP

     49,200         2,067,261   

WORTHINGTON INDU INC

     21,500         352,170   

XENOPORT INC

     18,900         72,009   

XYRATEX LTD

     31,160         415,051   

YORK WATER CO

     3,930         69,850   

ZALE CORP

     49,950         190,310   

Russell Small/Mid Cap Value Account Total

     29,639,943       $ 293,609,311   

 

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Investments held by trustee, at fair value

      $ 7,235,505,373   

Participant Loans* Interest at 4.25% - 9.44%, maturing through February 2027

      $ 83,951,768   

Total Investments

      $ 7,319,457,141   

 

* Party-in-interest
** Information not presented because investments are participant directed

 

43