Date June 27, 2014 | /S/ CHRISTOPHER A. BUTNER | |
Chevron Corporation, Plan Administrator | ||
By: | Christopher A. Butner, Assistant Secretary and Managing Counsel Chevron Corporation |
1 | Consent of Independent Registered Public Accounting Firm, dated June 23, 2014. |
2 | Financial Statements of the Chevron Employee Savings Investment Plan for the fiscal year ended December 31, 2013, prepared in accordance with the financial reporting requirements of ERISA. |
Page | |
Report of Independent Registered Public Accounting Firm | 1 |
Financial Statements: | |
Statements of Net Assets Available for Benefits as of December 31, 2013 and 2012 | 2-3 |
Statements of Changes in Net Assets Available for Benefits for the Years Ended December 31, 2013 and 2012 | 4-5 |
Notes to Financial Statements | 6-16 |
Supplemental Schedules: | |
Schedule H - Part IV, Line 4(i) - Schedule of Assets Held as of December 31, 2013 | 17-26 |
Schedule H - Part IV, Line 4(j) - Schedule of Reportable Transactions for the Year Ended December 31, 2013 | 27 |
CHEVRON EMPLOYEE SAVINGS INVESTMENT PLAN | |||||||||||||||||
STATEMENT OF NET ASSETS AVAILABLE FOR BENEFITS | |||||||||||||||||
December 31, 2013 | |||||||||||||||||
(thousands of dollars) | |||||||||||||||||
Participant | Non-Participant Directed | ||||||||||||||||
Directed | Allocated | Unallocated | Total | ||||||||||||||
Assets | |||||||||||||||||
Investments - at fair value: | |||||||||||||||||
Chevron Corporation common stock | |||||||||||||||||
Allocated to participants | $ | — | $ | 9,973,436 | $ | — | $ | 9,973,436 | |||||||||
Unallocated | — | — | — | — | |||||||||||||
Registered investment companies | 8,781,841 | — | — | 8,781,841 | |||||||||||||
Vanguard Brokerage Option | 265,547 | — | — | 265,547 | |||||||||||||
Collective investment funds | 114,172 | — | — | 114,172 | |||||||||||||
Separate Account | 258,401 | — | — | 258,401 | |||||||||||||
Total investments | 9,419,961 | 9,973,436 | — | 19,393,397 | |||||||||||||
Receivables: | |||||||||||||||||
Notes receivable from participants | 143,105 | — | — | 143,105 | |||||||||||||
Employer contributions | — | 4 | — | 4 | |||||||||||||
Participant contribution | 2 | 1 | — | 3 | |||||||||||||
Due from broker | 216 | — | — | 216 | |||||||||||||
Total receivables | 143,323 | 5 | — | 143,328 | |||||||||||||
Total assets | 9,563,284 | 9,973,441 | — | 19,536,725 | |||||||||||||
Liabilities | |||||||||||||||||
Due to broker | 765 | — | — | 765 | |||||||||||||
Total liabilities | 765 | — | — | 765 | |||||||||||||
Net assets available for benefits | $ | 9,562,519 | $ | 9,973,441 | $ | — | $ | 19,535,960 |
CHEVRON EMPLOYEE SAVINGS INVESTMENT PLAN | |||||||||||||||||
STATEMENT OF NET ASSETS AVAILABLE FOR BENEFITS | |||||||||||||||||
December 31, 2012 | |||||||||||||||||
(thousands of dollars) | |||||||||||||||||
Participant | Non-Participant Directed | ||||||||||||||||
Directed | Allocated | Unallocated | Total | ||||||||||||||
Assets | |||||||||||||||||
Investments - at fair value: | |||||||||||||||||
Chevron Corporation common stock | |||||||||||||||||
Allocated to participants | $ | — | $ | 8,732,158 | $ | — | $ | 8,732,158 | |||||||||
Unallocated | — | — | 139,702 | 139,702 | |||||||||||||
Registered investment companies | 7,395,531 | — | — | 7,395,531 | |||||||||||||
Vanguard Brokerage Option | 216,111 | — | — | 216,111 | |||||||||||||
Separate Account | 283,941 | — | — | 283,941 | |||||||||||||
Cash equivalents | — | — | 21,360 | 21,360 | |||||||||||||
Total investments | 7,895,583 | 8,732,158 | 161,062 | 16,788,803 | |||||||||||||
Receivables: | |||||||||||||||||
Notes receivable from participants | 136,847 | — | — | 136,847 | |||||||||||||
Employer contributions | — | 7 | — | 7 | |||||||||||||
Participant contribution | 4 | 2 | — | 6 | |||||||||||||
Due from broker | 171 | — | — | 171 | |||||||||||||
Total receivables | 137,022 | 9 | — | 137,031 | |||||||||||||
Total assets | 8,032,605 | 8,732,167 | 161,062 | 16,925,834 | |||||||||||||
Liabilities | |||||||||||||||||
Due to broker | 393 | — | — | 393 | |||||||||||||
Interest payable | — | — | 1,550 | 1,550 | |||||||||||||
ESOP notes payable | — | — | 42,303 | 42,303 | |||||||||||||
Total liabilities | 393 | — | 43,853 | 44,246 | |||||||||||||
Net assets available for benefits | $ | 8,032,212 | $ | 8,732,167 | $ | 117,209 | $ | 16,881,588 |
CHEVRON EMPLOYEE SAVINGS INVESTMENT PLAN | |||||||||||||||||||
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS | |||||||||||||||||||
YEAR ENDED DECEMBER 31, 2013 | |||||||||||||||||||
(thousands of dollars) | |||||||||||||||||||
Participant | Non-Participant Directed | ||||||||||||||||||
Directed | Allocated | Unallocated | Total | ||||||||||||||||
Additions | |||||||||||||||||||
Contributions: | |||||||||||||||||||
Employer contributions | $ | — | $ | 301,785 | $ | 7,536 | $ | 309,321 | |||||||||||
Participant contributions | 256,317 | 108,637 | — | 364,954 | |||||||||||||||
Participant rollovers | 104,424 | 18,675 | — | 123,099 | |||||||||||||||
Total contributions | 360,741 | 429,097 | 7,536 | 797,374 | |||||||||||||||
Investment income | |||||||||||||||||||
Net appreciation in fair value | |||||||||||||||||||
of investments | 1,257,027 | 1,354,362 | 14,980 | 2,626,369 | |||||||||||||||
Dividends | 230,174 | 310,850 | 2,162 | 543,186 | |||||||||||||||
Interest | 11,983 | — | — | 11,983 | |||||||||||||||
Total investment income | 1,499,184 | 1,665,212 | 17,142 | 3,181,538 | |||||||||||||||
Interest on notes receivable | |||||||||||||||||||
from participants | 4,478 | — | — | 4,478 | |||||||||||||||
Total additions | 1,864,403 | 2,094,309 | 24,678 | 3,983,390 | |||||||||||||||
Deductions | |||||||||||||||||||
Interest expense | — | — | 1,669 | 1,669 | |||||||||||||||
Distribution to participants | 636,664 | 546,256 | — | 1,182,920 | |||||||||||||||
Administrative fees | 3,394 | 817 | — | 4,211 | |||||||||||||||
Total deductions | 640,058 | 547,073 | 1,669 | 1,188,800 | |||||||||||||||
Interfund transfers | 305,962 | (305,962 | ) | — | — | ||||||||||||||
Intra-plan transfers | — | — | (140,218 | ) | (140,218 | ) | |||||||||||||
Net increase (decrease) | 1,530,307 | 1,241,274 | (117,209 | ) | 2,654,372 | ||||||||||||||
Net assets available for benefits: | |||||||||||||||||||
Beginning of year | 8,032,212 | 8,732,167 | 117,209 | 16,881,588 | |||||||||||||||
End of year | $ | 9,562,519 | $ | 9,973,441 | $ | — | $ | 19,535,960 |
CHEVRON EMPLOYEE SAVINGS INVESTMENT PLAN | |||||||||||||||||||
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS | |||||||||||||||||||
YEAR ENDED DECEMBER 31, 2012 | |||||||||||||||||||
(thousands of dollars) | |||||||||||||||||||
Participant | Non-Participant Directed | ||||||||||||||||||
Directed | Allocated | Unallocated | Total | ||||||||||||||||
Additions | |||||||||||||||||||
Contributions: | |||||||||||||||||||
Employer contributions | $ | 68 | $ | 284,354 | $ | 2,000 | $ | 286,422 | |||||||||||
Participant contributions | 239,327 | 100,932 | — | 340,259 | |||||||||||||||
Participant rollovers | 50,332 | 16,746 | — | 67,078 | |||||||||||||||
Total contributions | 289,727 | 402,032 | 2,000 | 693,759 | |||||||||||||||
Investment income | |||||||||||||||||||
Net appreciation (depreciation) | |||||||||||||||||||
in fair value of investments | 560,059 | 178,431 | (527 | ) | 737,963 | ||||||||||||||
Dividends | 175,380 | 286,046 | 5,542 | 466,968 | |||||||||||||||
Interest | 6,852 | — | 4 | 6,856 | |||||||||||||||
Total investment income | 742,291 | 464,477 | 5,019 | 1,211,787 | |||||||||||||||
Interest on notes receivable | |||||||||||||||||||
from participants | 4,832 | — | — | 4,832 | |||||||||||||||
Total additions | 1,036,850 | 866,509 | 7,019 | 1,910,378 | |||||||||||||||
Deductions | |||||||||||||||||||
Interest expense | — | — | 3,100 | 3,100 | |||||||||||||||
Distribution to participants | 597,784 | 520,287 | — | 1,118,071 | |||||||||||||||
Administrative fees | 2,621 | 647 | — | 3,268 | |||||||||||||||
Total deductions | 600,405 | 520,934 | 3,100 | 1,124,439 | |||||||||||||||
Interfund transfers | 357,649 | (357,649 | ) | — | — | ||||||||||||||
Intra-plan transfers | — | — | (42,762 | ) | (42,762 | ) | |||||||||||||
Net increase (decrease) | 794,094 | (12,074 | ) | (38,843 | ) | 743,177 | |||||||||||||
Transfer of plan assets to | |||||||||||||||||||
Atlas Energy Inc. | |||||||||||||||||||
Investment Savings Plan | (24 | ) | — | — | (24 | ) | |||||||||||||
Net assets available for benefits: | |||||||||||||||||||
Beginning of year | 7,238,142 | 8,744,241 | 156,052 | 16,138,435 | |||||||||||||||
End of year | $ | 8,032,212 | $ | 8,732,167 | $ | 117,209 | $ | 16,881,588 |
Level 1: | Inputs to the valuation methodology are unadjusted quoted prices for identical assets or liabilities in active markets that the Plan has the ability to access. |
Level 2: | Inputs to the valuation methodology include: |
• | Common stocks and debt instruments are valued at the closing price reported on the active market on which the individual securities are traded. |
• | Shares of registered investment companies are valued at the net asset value of shares held by the Plan at year end. |
• | The Separate Account is stated at fair value as determined by the issuers based on the unit value of the Separate Account. Unit value is determined by dividing the Separate Account’s net assets, which represent the unadjusted prices in active markets of the underlying investments, by the number of units outstanding at the valuation date. While not publicly traded, the Separate Account comprised primarily of underlying securities represented by a variety of asset classes (i.e., cash equivalents, corporate bonds, mortgages, U.S. government and asset-backed securities) that are publicly traded on exchanges or over-the-counter, and price quotes for the assets held by the Separate Account are readily observable and available. |
• | Collective investment funds are stated at fair value as determined by the issuers based on the unit values of the funds. Unit values are determined by dividing the fund’s net assets, which represents the unadjusted prices in active markets of the underlying investments, by the number of units outstanding at the valuation date. |
Investments at Fair Value (in thousands) as of December 31, 2013 | ||||||||||||
Level 1 | Level 2 | Level 3 | Total | |||||||||
Common Stocks | $ | 9,973,436 | $ | — | $ | — | $ | 9,973,436 | ||||
Registered investment companies | 8,781,841 | — | — | 8,781,841 | ||||||||
Vanguard Brokerage Option | 265,547 | — | — | 265,547 | ||||||||
Collective investment funds | — | 114,172 | — | 114,172 | ||||||||
Separate Account: | — | — | — | |||||||||
Corporate bonds | — | 118,219 | — | 118,219 | ||||||||
Mortgages | — | 93,891 | — | 93,891 | ||||||||
U.S. government securities | — | 31,676 | — | 31,676 | ||||||||
Asset-backed securities | — | 6,393 | — | 6,393 | ||||||||
Cash equivalents | — | 7,013 | — | 7,013 | ||||||||
Receivables | — | 1,349 | — | 1,349 | ||||||||
Liabilities | — | (140 | ) | — | (140 | ) | ||||||
Total Separate Account | — | 258,401 | — | 258,401 | ||||||||
Total investments, at fair value | $ | 19,020,824 | $ | 372,573 | $ | — | $ | 19,393,397 |
Investments at Fair Value (in thousands) as of December 31, 2012 | ||||||||||||
Level 1 | Level 2 | Level 3 | Total | |||||||||
Common Stocks | $ | 8,871,860 | $ | — | $ | — | $ | 8,871,860 | ||||
Registered investment companies | 7,395,531 | — | — | 7,395,531 | ||||||||
Vanguard Brokerage Option | 216,111 | — | — | 216,111 | ||||||||
Separate Account: | — | — | — | |||||||||
Corporate bonds | — | 128,960 | — | 128,960 | ||||||||
Mortgages | — | 80,592 | — | 80,592 | ||||||||
U.S. government securities | — | 57,218 | — | 57,218 | ||||||||
Asset-backed securities | — | 6,673 | — | 6,673 | ||||||||
Cash equivalents | — | 8,086 | — | 8,086 | ||||||||
Receivables | — | 2,559 | — | 2,559 | ||||||||
Liabilities | — | (147 | ) | — | (147 | ) | ||||||
Total Separate Account | — | 283,941 | — | 283,941 | ||||||||
Cash Equivalents | $ | 21,360 | 21,360 | |||||||||
Total investments, at fair value | $ | 16,504,862 | $ | 283,941 | $ | — | 16,788,803 |
Fund Name | Fund Type | ||
Vanguard Target Retirement Income Trust Vanguard Target Retirement 2010 Trust Vanguard Target Retirement 2015 Trust Vanguard Target Retirement 2020 Trust Vanguard Target Retirement 2025 Trust Vanguard Target Retirement 2030 Trust Vanguard Target Retirement 2035 Trust Vanguard Target Retirement 2040 Trust Vanguard Target Retirement 2045 Trust Vanguard Target Retirement 2050 Trust Vanguard Target Retirement 2055 Trust Vanguard Target Retirement 2060 Trust | Balanced Balanced Balanced Balanced Balanced Balanced Balanced Balanced Balanced Balanced Balanced Balanced |
Fund Name | Fund Type | |
Chevron Leveraged ESOP Fund | Company stock | |
Chevron Corporation Common Stock Fund | Company stock | |
Vanguard Prime Money Market Fund | Money market | |
Vanguard Total Bond Market Index Fund | Fixed income | |
Vanguard Short-Term Bond Index Fund | Fixed income | |
Vanguard Balanced Index Fund | Balanced | |
Vanguard Institutional Index Fund | Large-cap stock | |
Vanguard Institutional Total Stock Market Index Fund | Growth and income stock | |
Vanguard Extended Market Index Fund | Small & mid-cap growth stock | |
Vanguard Developed Markets Index Fund SSgA U.S. Inflation Protected Bond Index Fund Vanguard Total World Stock Index Fund | International stock Fixed income International stock |
Fund Name | Fund Type | |
Dodge & Cox Income Separate Account | Fixed income | |
Vanguard Windsor II Fund | Large-cap value stock | |
Vanguard PRIMECAP Fund | Large-cap growth stock | |
Artisan Small Cap Value Fund | Small-cap value stock | |
Artisan Mid Cap Fund | Mid-cap growth stock | |
Neuberger Berman Genesis Fund | Small-cap blend stock | |
American Funds EuroPacific Growth Fund | International stock |
2013 | 2012 | |||||||||||
Participant Directed | Non-Participant Directed | Participant Directed | Non-Participant Directed | |||||||||
(thousands of dollars) | (thousands of dollars) | |||||||||||
Chevron Corporation Common Stock | $ | — | $ | 9,973,436 | $ | — | $ | 8,871,860 | ||||
Vanguard Total Bond Market Index Bond Fund | 1,041,743 | — | 1,211,290 | — | ||||||||
Vanguard Money Market Fund | 1,142,279 | — | 1,168,386 | 21,360 | ||||||||
Vanguard Institutional Index Fund | 1,533,420 | — | 1,179,010 | — |
2013 | 2012 | |||||||||||
Participant Directed | Non-Participant Directed | Participant Directed | Non-Participant Directed | |||||||||
(thousands of dollars) | (thousands of dollars) | |||||||||||
Common stocks | $ | 5 | $ | 1,369,410 | $ | (173 | ) | $ | 177,904 | |||
Registered investment companies | 1,260,716 | (68 | ) | 556,408 | — | |||||||
Collective investment fund | 6,448 | — | — | — | ||||||||
Separate Account: | — | |||||||||||
Corporate Bonds | (5,087 | ) | 5,107 | — | ||||||||
Mortgages | (3,631 | ) | (2,294 | ) | — | |||||||
U.S. government securities | (1,266 | ) | 925 | — | ||||||||
Asset-backed securities | (158 | ) | 86 | — | ||||||||
Total Separate Account | (10,142 | ) | — | 3,824 | — | |||||||
Net appreciation in fair values of investments | $ | 1,257,027 | $ | 1,369,342 | $ | 560,059 | $ | 177,904 |
CHEVRON EMPLOYEE SAVINGS INVESTMENT PLAN | ||||||||||||||||
EIN 94-0890210 PLAN NO. 001 | ||||||||||||||||
SCHEDULE H - PART IV, LINE 4(i) - SCHEDULE OF ASSETS HELD | ||||||||||||||||
December 31, 2013 | ||||||||||||||||
(thousands of dollars) | ||||||||||||||||
(a) | (b) | (c) | (d) | (e) | ||||||||||||
Description of Investment Including | ||||||||||||||||
Identity of Issue, Borrower, | Maturity Date, Rate of Interest, | Number of | ||||||||||||||
Lessor, or Similar Party | Collateral, Par, or Maturity Value | Shares / Units | Cost | Current Value | ||||||||||||
COMMON STOCK | ||||||||||||||||
* | Chevron Corporation | Common Stock | 79,863,387 | $ | 4,239,314 | $ | 9,973,436 | |||||||||
TOTAL COMMON STOCK | 9,973,436 | |||||||||||||||
REGISTERED INVESTMENT COMPANIES | ||||||||||||||||
* | Vanguard Institutional Index Fund | 9,058,482 | 1,190,282 | 1,533,420 | ||||||||||||
* | Vanguard Prime Money Market Fund | 1,142,279,337 | 1,142,279 | 1,142,279 | ||||||||||||
* | Vanguard Total Bond Market Index Fund | 98,649,883 | 1,079,985 | 1,041,743 | ||||||||||||
* | Vanguard PRIMECAP Fund | 8,325,260 | 615,198 | 796,977 | ||||||||||||
* | Vanguard Developed Markets Index Fund | 5,750,334 | 575,599 | 687,338 | ||||||||||||
* | Vanguard Windsor II Fund | 9,260,789 | 487,492 | 604,174 | ||||||||||||
* | Vanguard Extended Market Index Fund | 3,753,545 | 433,133 | 581,199 | ||||||||||||
* | Vanguard Total Stock Market Index Fund | 13,644,221 | 451,141 | 577,423 | ||||||||||||
* | Vanguard Balanced Index Fund | 19,388,021 | 422,264 | 533,558 | ||||||||||||
* | Vanguard Short-Term Bond Fund Index | 24,378,036 | 258,422 | 255,726 | ||||||||||||
* | Vanguard World Stock Fund | 193,401 | 21,700 | 23,367 | ||||||||||||
Neuberger Berman Genesis Fund | 5,208,396 | 248,205 | 322,400 | |||||||||||||
American Funds EuroPacific Growth Fund | 5,707,463 | 228,255 | 279,837 | |||||||||||||
Artisan Mid Cap Fund | 4,496,955 | 161,456 | 214,145 | |||||||||||||
Artisan Small Cap Value Fund | 9,987,050 | 159,647 | 188,255 | |||||||||||||
TOTAL REGISTERED INVESTMENT COMPANIES | 8,781,841 | |||||||||||||||
* | VANGUARD BROKERAGE OPTION | 228,824 | 265,547 | |||||||||||||
COLLECTIVE INVESTMENT FUNDS | ||||||||||||||||
* | Vanguard Target Date Retirement Trust I | 175,286 | 7,277 | 7,443 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2010 | 176,254 | 6,884 | 7,175 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2015 | 491,492 | 19,113 | 20,033 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2020 | 598,615 | 22,898 | 24,370 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2025 | 410,892 | 15,417 | 16,501 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2030 | 205,471 | 7,692 | 8,188 |
* | Vanguard Target Date Retirement Trust 2035 | 146,680 | $ | 5,401 | $ | 5,876 | ||||||||||
* | Vanguard Target Date Retirement Trust 2040 | 229,211 | 8,492 | 9,340 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2045 | 88,834 | 3,322 | 3,609 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2050 | 56,205 | 2,102 | 2,298 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2055 | 12,853 | 607 | 641 | ||||||||||||
* | Vanguard Target Date Retirement Trust 2060 | 17,744 | 431 | 465 | ||||||||||||
* | SSgA U.S. Inflation Protected Bond Index Fund | 657,412 | 8,716 | 8,233 | ||||||||||||
TOTAL COLLECTIVE INVESTMENT FUNDS | 114,172 | |||||||||||||||
SEPARATE ACCOUNT | ||||||||||||||||
Corporate bonds | ||||||||||||||||
21st Century Fox America Company | Guaranty 02/41 6.150% | 295,000 | 336 | 329 | ||||||||||||
22nd Century Fox America Company | Guaranty 3/37 6.150% | 290,000 | 325 | 319 | ||||||||||||
23rd Century Fox America Company | Guaranty 11/37 6.650% | 80,000 | 93 | 93 | ||||||||||||
24th Century Fox America Company | Guaranty 12/34 6.200% | 70,000 | 78 | 77 | ||||||||||||
25th Century Fox America Company | Guaranty 12/35 6.400% | 285,000 | 321 | 324 | ||||||||||||
American Intl Group | Sr Unsecured 09/14 4.250% | 430,000 | 445 | 441 | ||||||||||||
AT&T Corp Company | Guaranty 11/31 8.000% | 1,550,000 | 2,289 | 2,063 | ||||||||||||
AT&T Inc | Sr Unsecured 09/40 5.350% | 85,000 | 96 | 84 | ||||||||||||
BAC Capital Trust XI | Limited Guaranty 05/36 6.625% | 2,470,000 | 2,736 | 2,654 | ||||||||||||
Bank of America Corp | Sr Unsecured 06/19 7.625% | 2,525,000 | 2,890 | 3,132 | ||||||||||||
Bank One Capital III | Limited Guaranty 09/30 8.750% | 450,000 | 619 | 577 | ||||||||||||
BNSF Railway Co | 2007 1 P Pass Thru Ce 04/24 5.996% | 498,979 | 585 | 550 | ||||||||||||
Boston Properties LP | Sr Unsecured 02/23 3.850% | 250,000 | 249 | 244 | ||||||||||||
Boston Properties LP | Sr Unsecured 02/24 3.800% | 375,000 | 374 | 360 | ||||||||||||
Boston Properties LP | Sr Unsecured 05/21 4.125% | 955,000 | 1,034 | 976 | ||||||||||||
Boston Properties LP | Sr Unsecured 10/19 5.875% | 475,000 | 546 | 545 | ||||||||||||
Boston Properties LP | Sr Unsecured 11/18 3.700% | 280,000 | 293 | 295 | ||||||||||||
Boston Properties LP | Sr Unsecured 11/20 5.625% | 545,000 | 634 | 613 | ||||||||||||
Boston Scientific Corp | Sr Unsecured 01/20 6.000% | 150,000 | 177 | 172 | ||||||||||||
Boston Scientific Corp | Sr Unsecured 06/16 6.400% | 1,085,000 | 1,253 | 1,210 | ||||||||||||
Boston Scientific Corp | Sr Unsecured 11/15 6.250% | 145,000 | 161 | 158 | ||||||||||||
Burlingtn No | SF 06 1 Tr Pass Thru Ce 01/24 5.720% | 184,770 | 217 | 206 | ||||||||||||
Burlingtn No | SF 06 2 Tr Pass Thru Ce 04/24 5.629% | 262,174 | 306 | 290 | ||||||||||||
Burlingtn No | SF 99 2 Tr Pass Thru Ce 01/21 7.570% | 143,597 | 172 | 165 | ||||||||||||
Burlingtn North Santa Fe | Sr Unsecured 09/22 3.050% | 575,000 | 576 | 539 | ||||||||||||
Burlingtn North Santa Fe | Sr Unsecured 09/23 3.850% | 875,000 | 872 | 861 | ||||||||||||
Burlingtn North Santa Fe | Sr Unsecured 10/19 4.700% | 750,000 | 857 | 823 | ||||||||||||
Capital One Financial Co | Sr Unsecured 06/23 3.500% | 1,545,000 | 1,546 | 1,450 | ||||||||||||
Capital One Financial Co | Sr Unsecured 07/21 4.750% | 1,250,000 | 1,352 | 1,329 | ||||||||||||
Cemex Sab De Cv | Sr Secured 144A 12/19 6.500% | 1,375,000 | 1,375 | 1,420 | ||||||||||||
Cigna Corp | Sr Unsecured 01/33 VAR | 260,000 | 339 | 314 | ||||||||||||
Cigna Corp | Sr Unsecured 02/42 5.375% | 190,000 | 202 | 198 | ||||||||||||
Cigna Corp | Sr Unsecured 03/23 7.650% | 270,000 | 344 | 326 | ||||||||||||
Cigna Corp | Sr Unsecured 05/19 8.500% | 740,000 | 960 | 945 |
Cigna Corp | Sr Unsecured 05/27 7.875% | 290,000 | $ | 385 | $ | 361 | ||||||||||
Cigna Corp | Sr Unsecured 11/36 6.150% | 840,000 | 992 | 947 | ||||||||||||
Citigroup Capital XIII | Junior Subordinate Debt | 97,850 | 2,616 | 2,666 | ||||||||||||
Citigroup Inc | Sr Unsecured 05/18 VAR | 1,080,000 | 1,016 | 1,125 | ||||||||||||
Citigroup Inc | Subordinated 07/22 4.050% | 705,000 | 718 | 697 | ||||||||||||
Comcast Corp Company | Guaranty 02/18 5.875% | 680,000 | 801 | 780 | ||||||||||||
Comcast Corp Company | Guaranty 03/37 6.450% | 30,000 | 37 | 35 | ||||||||||||
Comcast Corp Company | Guaranty 05/18 5.700% | 25,000 | 29 | 29 | ||||||||||||
Comcast Corp Company | Guaranty 05/38 6.400% | 120,000 | 146 | 139 | ||||||||||||
Comcast Corp Company | Guaranty 08/37 6.950% | 375,000 | 479 | 461 | ||||||||||||
Cox Communications Inc | Sr Unsecured 144A 01/19 9.375% | 1,400,000 | 1,893 | 1,761 | ||||||||||||
Cox Communications Inc | Sr Unsecured 144A 06/23 2.950% | 525,000 | 523 | 459 | ||||||||||||
Cox Communications Inc | Sr Unsecured 144A 12/16 5.875% | 760,000 | 877 | 846 | ||||||||||||
Cox Communications Inc | Sr Unsecured 144A 12/22 3.250% | 1,575,000 | 1,467 | 1,425 | ||||||||||||
CSX Transportation Inc | Secured 01/23 6.251% | 169,157 | 202 | 196 | ||||||||||||
CSX Transportation Inc | Sr Unsecured 06/20 9.750% | 100,000 | 142 | 134 | ||||||||||||
Dillards Inc | Sr Unsecured 05/27 7.750% | 125,000 | 121 | 133 | ||||||||||||
Dillards Inc | Sr Unsecured 07/26 7.750% | 210,000 | 207 | 223 | ||||||||||||
Dillards Inc | Sr Unsecured 08/18 7.130% | 230,000 | 241 | 260 | ||||||||||||
Dillards Inc | Sr Unsecured 12/28 7.000% | 280,000 | 265 | 286 | ||||||||||||
Dow Chemical Co/The | Sr Unsecured 05/19 8.550% | 1,260,000 | 1,663 | 1,627 | ||||||||||||
Dow Chemical Co/The | Sr Unsecured 05/39 9.400% | 1,225,000 | 1,901 | 1,830 | ||||||||||||
Dow Chemical Co/The | Sr Unsecured 11/29 7.375% | 480,000 | 636 | 617 | ||||||||||||
Eaton Corp Company | Guaranty 11/17 1.500% | 250,000 | 250 | 245 | ||||||||||||
Eaton Corp Company | Guaranty 11/22 2.750% | 650,000 | 648 | 606 | ||||||||||||
Enel Finance Intl Nv Company | Guaranty 144A 09/37 6.800% | 675,000 | 718 | 700 | ||||||||||||
Enel Finance Intl Nv Company | Guaranty 144A 10/39 6.000% | 700,000 | 671 | 671 | ||||||||||||
Enel Spa | Subordinated 144A 09/73 VAR | 350,000 | 347 | 380 | ||||||||||||
ERP Operating LP | Sr Unsecured 04/23 3.000% | 625,000 | 619 | 571 | ||||||||||||
ERP Operating LP | Sr Unsecured 12/21 4.625% | 750,000 | 819 | 791 | ||||||||||||
Export Import Bk Korea | Sr Unsecured 01/17 4.000% | 1,460,000 | 1,529 | 1,547 | ||||||||||||
FedEx Corp | 1998 Pass Tst Pass Thru Ce 07/23 6.720% | 173,923 | 206 | 203 | ||||||||||||
FedEx Corp Company | Guaranty 01/19 8.000% | 180,000 | 239 | 224 | ||||||||||||
Ford Motor Credit Co LLC | Sr Unsecured 01/20 8.125% | 300,000 | 378 | 375 | ||||||||||||
Ford Motor Credit Co LLC | Sr Unsecured 02/21 5.750% | 2,315,000 | 2,603 | 2,593 | ||||||||||||
Ford Motor Credit Co LLC | Sr Unsecured 08/21 5.875% | 500,000 | 554 | 567 | ||||||||||||
Ford Motor Credit Co LLC | Sr Unsecured 08/23 4.375% | 775,000 | 768 | 779 | ||||||||||||
Ford Motor Credit Co LLC | Sr Unsecured 09/22 4.250% | 525,000 | 520 | 527 | ||||||||||||
General Elec Cap Corp | Sr Unsecured 01/20 5.500% | 1,755,000 | 2,004 | 2,010 | ||||||||||||
General Elec Cap Corp | Sr Unsecured 01/21 4.625% | 160,000 | 174 | 174 | ||||||||||||
General Elec Cap Corp | Sr Unsecured 09/20 4.375% | 910,000 | 986 | 986 | ||||||||||||
General Elec Cap Corp | Sr Unsecured 10/21 4.650% | 285,000 | 312 | 310 | ||||||||||||
HCA Inc | Sr Unsecured 01/15 6.375% | 915,000 | 981 | 961 | ||||||||||||
HCA Inc | Sr Unsecured 02/16 6.500% | 2,555,000 | 2,725 | 2,795 | ||||||||||||
Health Net Inc | Sr Unsecured 06/17 6.375% | 815,000 | 831 | 878 | ||||||||||||
Hewlett Packard Co | Sr Unsecured 12/16 3.300% | 895,000 | 923 | 937 |
Hsbc Holdings Plc | Sr Unsecured 04/21 5.100% | 515,000 | $ | 570 | $ | 572 | ||||||||||
Hsbc Holdings | Plc Subordinated 05/36 6.500% | 1,560,000 | 1,731 | 1,848 | ||||||||||||
Hsbc Holdings | Plc Subordinated 09/37 6.500% | 1,060,000 | 1,178 | 1,254 | ||||||||||||
JPMorgan Chase & Co | Sr Unsecured 03/20 4.950% | 270,000 | 301 | 299 | ||||||||||||
JPMorgan Chase & Co | Subordinated 05/23 3.375% | 525,000 | 522 | 489 | ||||||||||||
Lafarge Sa | Sr Unsecured 07/16 6.500% | 1,505,000 | 1,613 | 1,663 | ||||||||||||
Lafarge Sa | Sr Unsecured 144A 07/15 6.200% | 1,665,000 | 1,767 | 1,765 | ||||||||||||
Legg Mason Inc | Sr Unsecured 05/19 5.500% | 1,485,000 | 1,506 | 1,624 | ||||||||||||
Liberty Interactive LLC | Sr Unsecured 02/30 8.250% | 285,000 | 292 | 304 | ||||||||||||
Liberty Interactive LLC | Sr Unsecured 07/29 8.500% | 115,000 | 118 | 124 | ||||||||||||
Macys Retail Hldgs Inc Company | Guaranty 01/32 6.900% | 520,000 | 627 | 595 | ||||||||||||
Macys Retail Hldgs Inc Company | Guaranty 02/28 7.000% | 255,000 | 304 | 289 | ||||||||||||
Macys Retail Hldgs Inc Company | Guaranty 03/37 6.375% | 730,000 | 891 | 815 | ||||||||||||
Macys Retail Hldgs Inc Company | Guaranty 04/29 6.900% | 490,000 | 576 | 556 | ||||||||||||
Macys Retail Hldgs Inc Company | Guaranty 07/24 6.650% | 390,000 | 468 | 451 | ||||||||||||
Macys Retail Hldgs Inc Company | Guaranty 07/34 6.700% | 835,000 | 1,005 | 950 | ||||||||||||
Macys Retail Hldgs Inc Company | Guaranty 09/28 6.700% | 220,000 | 252 | 243 | ||||||||||||
Myriad Int Holdings Bv Company | Guaranty 144A 07/20 6.000% | 1,025,000 | 1,029 | 1,097 | ||||||||||||
Nordstrom Inc | Sr Unsecured 01/18 6.250% | 160,000 | 194 | 185 | ||||||||||||
Nordstrom Inc | Sr Unsecured 03/28 6.950% | 125,000 | 164 | 151 | ||||||||||||
Norfolk Southern Corp | Sr Unsecured 05/17 7.700% | 285,000 | 362 | 338 | ||||||||||||
Norfolk Southern Railway | Sr Unsecured 06/20 9.750% | 135,000 | 197 | 184 | ||||||||||||
Petrobras Global Finance Company | Guaranty 05/23 4.375% | 1,525,000 | 1,521 | 1,359 | ||||||||||||
Petrobras Intl Fin Co Company | Guaranty 01/20 5.750% | 290,000 | 316 | 298 | ||||||||||||
Petrobras Intl Fin Co Company | Guaranty 01/21 5.375% | 2,330,000 | 2,539 | 2,312 | ||||||||||||
Provident Companies Inc | Sr Unsecured 03/28 7.250% | 245,000 | 277 | 282 | ||||||||||||
Reed Elsevier Capital Company | Guaranty 01/19 8.625%00 | 275,000 | 350 | 345 | ||||||||||||
Reed Elsevier Capital Company | Guaranty 10/22 3.125% | 1,240,000 | 1,145 | 1,147 | ||||||||||||
Royal Bk of Scotland Plc Bank | Guaranty 01/21 6.125% | 20,000 | 21 | 23 | ||||||||||||
Royal Bk of Scotland Plc Bank | Guaranty 03/16 4.375% | 570,000 | 574 | 608 | ||||||||||||
Royal Bk of Scotland Plc Bank | Guaranty 08/20 5.625% | 505,000 | 520 | 565 | ||||||||||||
Royal Bk Scotlnd Grp | Plc Subordinated 12/22 6.125% | 2,250,000 | 2,216 | 2,300 | ||||||||||||
Royal Bk Scotlnd Grp | Plc Subordinated 12/23 6.000% | 275,000 | 273 | 277 | ||||||||||||
SLM Corp | Sr Unsecured 01/16 6.250% | 750,000 | 827 | 810 | ||||||||||||
SLM Corp | Sr Unsecured 01/17 6.000% | 1,075,000 | 1,055 | 1,164 | ||||||||||||
SLM Corp | Sr Unsecured 09/15 3.875% | 700,000 | 722 | 724 | ||||||||||||
Sprint Communications | Sr Unsecured 12/16 6.000% | 1,175,000 | 1,075 | 1,282 | ||||||||||||
Telecom Italia Capital Company | Guaranty 06/18 6.999% | 1,135,000 | 1,270 | 1,257 | ||||||||||||
Telecom Italia Capital Company | Guaranty 06/19 7.175% | 1,400,000 | 1,489 | 1,572 | ||||||||||||
Telecom Italia Capital Company | Guaranty 07/36 7.200% | 425,000 | 399 | 409 | ||||||||||||
Time Warner Cable Inc Company | Guaranty 02/19 8.750% | 810,000 | 1,071 | 966 | ||||||||||||
Time Warner Cable Inc Company | Guaranty 02/20 5.000% | 80,000 | 89 | 81 | ||||||||||||
Time Warner Cable Inc Company | Guaranty 04/19 8.250% | 2,485,000 | 3,184 | 2,911 | ||||||||||||
Time Warner Cable Inc Company | Guaranty 05/37 6.550% | 700,000 | 668 | 648 | ||||||||||||
Time Warner Cable Inc Company | Guaranty 06/39 6.750% | 725,000 | 681 | 683 | ||||||||||||
Time Warner Cable Inc Company | Guaranty 09/21 4.000% | 235,000 | 254 | 218 |
Time Warner Inc Company | Guaranty 04/31 7.625% | 1,810,000 | $ | 2,345 | $ | 2,291 | ||||||||||
Time Warner Inc Company | Guaranty 05/32 7.700% | 1,530,000 | 2,016 | 1,964 | ||||||||||||
Union Pacific Corp | Sr Unsecured 07/22 4.163% | 245,000 | 274 | 252 | ||||||||||||
Union Pacific Corp | Sr Unsecured 144A 02/24 3.646% | 425,000 | 465 | 411 | ||||||||||||
Union Pacific RR Co | 07 3 Pass Thru Ce 01/31 6.176% | 352,743 | 422 | 392 | ||||||||||||
UNP RR Co | 2002 Pass Trst Pass Thru Ce 01/23 6.061% | 95,490 | 107 | 105 | ||||||||||||
UNP RR Co | 2006 Pass Trst Pass Thru Ce 07/30 5.866% | 475,919 | 555 | 548 | ||||||||||||
Unum Group | Sr Unsecured 02/28 7.190% | 110,000 | 120 | 118 | ||||||||||||
Unum Group | Sr Unsecured 12/28 6.750% | 75,000 | 82 | 83 | ||||||||||||
Verizon Communications | Sr Unsecured 09/23 5.150% | 3,000,000 | 3,018 | 3,221 | ||||||||||||
Verizon Communications | Sr Unsecured 09/43 6.550% | 2,000,000 | 2,032 | 2,340 | ||||||||||||
Vulcan Materials Co | Sr Unsecured 06/21 7.500% | 1,490,000 | 1,675 | 1,699 | ||||||||||||
Vulcan Materials Co | Sr Unsecured 12/16 6.500% | 335,000 | 343 | 375 | ||||||||||||
Wellpoint Inc | Sr Unsecured 02/19 7.000% | 685,000 | 863 | 813 | ||||||||||||
Wellpoint Inc | Sr Unsecured 06/17 5.875% | 160,000 | 189 | 180 | ||||||||||||
Xerox Corporation | Sr Unsecured 02/17 6.750% | 620,000 | 725 | 704 | ||||||||||||
Xerox Corporation | Sr Unsecured 04/16 7.200% | 250,000 | 290 | 280 | ||||||||||||
Xerox Corporation | Sr Unsecured 05/18 6.350% | 1,060,000 | 1,243 | 1,211 | ||||||||||||
Xerox Corporation | Sr Unsecured 05/21 4.500% | 1,470,000 | 1,540 | 1,513 | ||||||||||||
Xerox Corporation | Sr Unsecured 12/19 5.625% | 665,000 | 754 | 733 | ||||||||||||
Total corporate bonds | 118,219 | |||||||||||||||
Mortgages | ||||||||||||||||
Fannie Mae | Fnr 2008 24 GD | 49,390 | 54 | 54 | ||||||||||||
Fannie Mae | Fnr 2009 40 TB | 136,455 | 153 | 150 | ||||||||||||
Fannie Mae | Fnr 2009 53 QM | 67,174 | 73 | 73 | ||||||||||||
Fannie Mae | Fnr 2010 123 WT | 880,269 | 999 | 979 | ||||||||||||
Fannie Mae | Fnr 2013 101 CF | 2,170,789 | 2,169 | 2,172 | ||||||||||||
Fannie Mae | Fnr 2013 15 FA | 1,805,119 | 1,806 | 1,784 | ||||||||||||
Fannie Mae | Fnr 2013 26 FE | 1,783,741 | 1,785 | 1,765 | ||||||||||||
Fannie Mae | Fnr 2013 6 FL | 3,323,277 | 3,333 | 3,304 | ||||||||||||
Fannie Mae Whole Loan | Fnw 2003 W2 1A2 | 108,455 | 124 | 124 | ||||||||||||
Fannie Mae Whole Loan | Fnw 2004 W2 5A | 109,719 | 128 | 128 | ||||||||||||
Fannie Mae Whole Loan | Fnw 2004 W8 3A | 74,834 | 88 | 87 | ||||||||||||
Fannie Mae Whole Loan | Fnw 2005 W1 1A3 | 90,339 | 107 | 103 | ||||||||||||
Fannie Mae Whole Loan | Fnw 2007 W10 1A | 281,704 | 319 | 316 | ||||||||||||
Fannie Mae Whole Loan | Fnw 2007 W10 2A | 82,533 | 93 | 93 | ||||||||||||
Freddie Mac | Fhr 3312 AB | 70,177 | 79 | 78 | ||||||||||||
Freddie Mac | Fhr 4240 FA | 2,559,278 | 2,558 | 2,545 | ||||||||||||
Freddie Mac | Fhr 4283 EW | 1,145,091 | 1,273 | 1,211 | ||||||||||||
Vendee Mortgage Trust | Vende 1997 2 Z | 137,192 | 164 | 156 | ||||||||||||
Federal Home Loan | PC Pool 1B1150 | 122,308 | 130 | 129 | ||||||||||||
Federal Home Loan | PC Pool 1G2080 | 149,593 | 158 | 159 | ||||||||||||
Federal Home Loan | PC Pool 1G2667 | 75,713 | 81 | 80 | ||||||||||||
Federal Home Loan | PC Pool 1H2581 | 139,870 | 148 | 148 |
Federal Home Loan | PC Pool 1Q0479 | 147,017 | $ | 158 | $ | 156 | ||||||||||
Federal Home Loan | PC Pool 1Q0556 | 77,244 | 82 | 82 | ||||||||||||
Federal Home Loan | PC Pool 1Q0557 | 121,402 | 130 | 129 | ||||||||||||
Federal Home Loan | PC Pool 1Q0558 | 155,641 | 167 | 167 | ||||||||||||
Federal Home Loan | PC Pool 1Q1400 05/42 0 | 1,396,172 | 1,522 | 1,497 | ||||||||||||
Federal Home Loan | PC Pool 781274 | 94,306 | 100 | 99 | ||||||||||||
Federal Home Loan | PC Pool 782735 | 1,099,733 | 1,184 | 1,174 | ||||||||||||
Federal Home Loan | PC Pool 847671 | 82,984 | 89 | 88 | ||||||||||||
Federal Home Loan | PC Pool 848349 | 47,957 | 52 | 51 | ||||||||||||
Federal Home Loan | PC Pool E02703 | 2,111,568 | 2,244 | 2,230 | ||||||||||||
Federal Home Loan | PC Pool G01665 | 260,660 | 287 | 287 | ||||||||||||
Federal Home Loan | PC Pool G01749 | 112,384 | 123 | 123 | ||||||||||||
Federal Home Loan | PC Pool G01767 | 71,594 | 82 | 81 | ||||||||||||
Federal Home Loan | PC Pool G01777 | 3,261,708 | 3,591 | 3,651 | ||||||||||||
Federal Home Loan | PC Pool G02494 | 400,353 | 443 | 444 | ||||||||||||
Federal Home Loan | PC Pool G02993 | 195,502 | 215 | 216 | ||||||||||||
Federal Home Loan | PC Pool G03081 | 66,259 | 74 | 74 | ||||||||||||
Federal Home Loan | PC Pool G03268 | 216,584 | 239 | 239 | ||||||||||||
Federal Home Loan | PC Pool G03281 | 374,311 | 413 | 413 | ||||||||||||
Federal Home Loan | PC Pool G03392 | 238,391 | 263 | 263 | ||||||||||||
Federal Home Loan | PC Pool G03457 | 42,218 | 47 | 47 | ||||||||||||
Federal Home Loan | PC Pool G03697 | 189,700 | 209 | 209 | ||||||||||||
Federal Home Loan | PC Pool G03698 | 175,854 | 194 | 194 | ||||||||||||
Federal Home Loan | PC Pool G03720 | 62,226 | 69 | 69 | ||||||||||||
Federal Home Loan | PC Pool G03955 | 104,545 | 115 | 115 | ||||||||||||
Federal Home Loan | PC Pool G04140 | 152,964 | 169 | 169 | ||||||||||||
Federal Home Loan | PC Pool G04378 | 273,350 | 308 | 304 | ||||||||||||
Federal Home Loan | PC Pool G04587 | 763,962 | 830 | 833 | ||||||||||||
Federal Home Loan | PC Pool G04715 | 200,170 | 221 | 221 | ||||||||||||
Federal Home Loan | PC Pool G05603 | 57,802 | 67 | 63 | ||||||||||||
Federal Home Loan | PC Pool G05862 | 161,698 | 177 | 178 | ||||||||||||
Federal Home Loan | PC Pool G05979 | 1,469,881 | 1,589 | 1,602 | ||||||||||||
Federal Home Loan | PC Pool G06238 | 190,610 | 211 | 211 | ||||||||||||
Federal Home Loan | PC Pool G06570 | 275,817 | 306 | 306 | ||||||||||||
Federal Home Loan | PC Pool G06571 | 203,694 | 225 | 225 | ||||||||||||
Federal Home Loan | PC Pool G06932 | 2,010,089 | 2,221 | 2,239 | ||||||||||||
Federal Home Loan | PC Pool G06962 | 356,342 | 393 | 394 | ||||||||||||
Federal Home Loan | PC Pool G06995 | 383,412 | 423 | 423 | ||||||||||||
Federal Home Loan | PC Pool G07074 | 2,777,747 | 3,073 | 3,065 | ||||||||||||
Federal Home Loan | PC Pool G07491 | 1,638,751 | 1,747 | 1,736 | ||||||||||||
Federal Home Loan | PC Pool G07515 | 3,649,737 | 3,909 | 3,865 | ||||||||||||
Federal Home Loan | PC Pool G07568 | 6,097,576 | 6,501 | 6,461 | ||||||||||||
Federal Home Loan | PC Pool G08271 | 176,832 | 195 | 195 | ||||||||||||
Federal Home Loan | PC Pool G12277 | 64,269 | 70 | 70 | ||||||||||||
Federal Home Loan | PC Pool G12339 | 212,759 | 232 | 231 | ||||||||||||
Federal Home Loan | PC Pool G12758 | 107,762 | 118 | 118 |
Federal Home Loan | PC Pool G13338 G1 3338 | 119,735 | $ | 131 | $ | 131 | ||||||||||
Federal Home Loan | PC Pool G13346 | 117,043 | 128 | 128 | ||||||||||||
Federal Home Loan | PC Pool G13854 | 2,039,134 | 2,167 | 2,154 | ||||||||||||
Federal Home Loan | PC Pool G14585 | 5,746,650 | 6,118 | 6,070 | ||||||||||||
Federal Home Loan | PC Pool G30303 | 119,285 | 130 | 130 | ||||||||||||
Federal Home Loan | PC Pool G30305 | 60,708 | 68 | 67 | ||||||||||||
Federal Home Loan | PC Pool G30458 | 540,886 | 597 | 598 | ||||||||||||
Federal Home Loan | PC Pool H09070 H0 9070 | 65,495 | 73 | 70 | ||||||||||||
Federal Home Loan | PC Pool H09203 | 48,091 | 53 | 52 | ||||||||||||
Federal Home Loan | PC Pool J08788 | 928,310 | 999 | 1,002 | ||||||||||||
Federal Natl Mtg Assn | Pool 256614 | 45,658 | 50 | 49 | ||||||||||||
Federal Natl Mtg Assn | Pool 256901 | 59,130 | 66 | 64 | ||||||||||||
Federal Natl Mtg Assn | Pool 256937 | 69,963 | 78 | 76 | ||||||||||||
Federal Natl Mtg Assn | Pool 256985 | 98,750 | 113 | 109 | ||||||||||||
Federal Natl Mtg Assn | Pool 257095 | 94,102 | 103 | 102 | ||||||||||||
Federal Natl Mtg Assn | Pool 310048 | 85,516 | 97 | 95 | ||||||||||||
Federal Natl Mtg Assn | Pool 555285 | 163,463 | 183 | 183 | ||||||||||||
Federal Natl Mtg Assn | Pool 677709 | 235,197 | 259 | 259 | ||||||||||||
Federal Natl Mtg Assn | Pool 725206 | 61,112 | 67 | 67 | ||||||||||||
Federal Natl Mtg Assn | Pool 725228 | 630,526 | 705 | 707 | ||||||||||||
Federal Natl Mtg Assn | Pool 725271 | 70,548 | 76 | 74 | ||||||||||||
Federal Natl Mtg Assn | Pool 725330 | 862,782 | 964 | 968 | ||||||||||||
Federal Natl Mtg Assn | Pool 725417 | 65,909 | 71 | 70 | ||||||||||||
Federal Natl Mtg Assn | Pool 735415 | 340,249 | 390 | 382 | ||||||||||||
Federal Natl Mtg Assn | Pool 735523 | 61,145 | 66 | 65 | ||||||||||||
Federal Natl Mtg Assn | Pool 735869 | 74,128 | 79 | 79 | ||||||||||||
Federal Natl Mtg Assn | Pool 745238 | 75,058 | 81 | 80 | ||||||||||||
Federal Natl Mtg Assn | Pool 745303 | 79,951 | 85 | 84 | ||||||||||||
Federal Natl Mtg Assn | Pool 745398 | 88,892 | 99 | 100 | ||||||||||||
Federal Natl Mtg Assn | Pool 745942 | 92,421 | 103 | 104 | ||||||||||||
Federal Natl Mtg Assn | Pool 832257 | 118,418 | 124 | 126 | ||||||||||||
Federal Natl Mtg Assn | Pool 888015 | 389,575 | 436 | 428 | ||||||||||||
Federal Natl Mtg Assn | Pool 888136 | 134,100 | 147 | 146 | ||||||||||||
Federal Natl Mtg Assn | Pool 888151 | 200,027 | 218 | 215 | ||||||||||||
Federal Natl Mtg Assn | Pool 888262 | 72,094 | 79 | 79 | ||||||||||||
Federal Natl Mtg Assn | Pool 888291 | 232,845 | 256 | 254 | ||||||||||||
Federal Natl Mtg Assn | Pool 888365 | 128,962 | 142 | 140 | ||||||||||||
Federal Natl Mtg Assn | Pool 888366 | 1,662,460 | 1,924 | 1,857 | ||||||||||||
Federal Natl Mtg Assn | Pool 888559 | 214,497 | 244 | 236 | ||||||||||||
Federal Natl Mtg Assn | Pool 888631 | 181,662 | 200 | 198 | ||||||||||||
Federal Natl Mtg Assn | Pool 888791 | 39,188 | 43 | 42 | ||||||||||||
Federal Natl Mtg Assn | Pool 888891 | 139,066 | 157 | 154 | ||||||||||||
Federal Natl Mtg Assn | Pool 888894 | 71,689 | 80 | 77 | ||||||||||||
Federal Natl Mtg Assn | Pool 888956 | 261,023 | 292 | 293 | ||||||||||||
Federal Natl Mtg Assn | Pool 889151 | 61,016 | 68 | 66 | ||||||||||||
Federal Natl Mtg Assn | Pool 889157 | 88,246 | 97 | 98 |
Federal Natl Mtg Assn | Pool 889390 | 249,506 | $ | 274 | $ | 273 | ||||||||||
Federal Natl Mtg Assn | Pool 889528 | 125,698 | 141 | 136 | ||||||||||||
Federal Natl Mtg Assn | Pool 889886 | 213,607 | 249 | 235 | ||||||||||||
Federal Natl Mtg Assn | Pool 890341 | 157,437 | 174 | 174 | ||||||||||||
Federal Natl Mtg Assn | Pool 907860 | 130,594 | 141 | 140 | ||||||||||||
Federal Natl Mtg Assn | Pool 936482 | 70,908 | 78 | 79 | ||||||||||||
Federal Natl Mtg Assn | Pool 995005 | 69,920 | 76 | 73 | ||||||||||||
Federal Natl Mtg Assn | Pool 995212 | 287,137 | 321 | 322 | ||||||||||||
Federal Natl Mtg Assn | Pool 995405 | 378,754 | 412 | 415 | ||||||||||||
Federal Natl Mtg Assn | Pool 995487 | 79,524 | 89 | 89 | ||||||||||||
Federal Natl Mtg Assn | Pool 995575 | 67,549 | 74 | 75 | ||||||||||||
Federal Natl Mtg Assn | Pool 995597 | 92,686 | 101 | 102 | ||||||||||||
Federal Natl Mtg Assn | Pool 995694 | 88,523 | 100 | 98 | ||||||||||||
Federal Natl Mtg Assn | Pool 995788 | 1,089,444 | 1,198 | 1,200 | ||||||||||||
Federal Natl Mtg Assn | Pool AB1763 | 789,984 | 841 | 826 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0111 | 88,844 | 100 | 99 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0112 | 79,533 | 90 | 88 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0198 | 443,840 | 487 | 488 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0249 | 506,873 | 557 | 558 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0284 | 194,974 | 212 | 213 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0494 | 86,297 | 95 | 96 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0650 | 121,018 | 133 | 133 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0663 | 395,010 | 434 | 435 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0692 | 54,526 | 60 | 59 | ||||||||||||
Federal Natl Mtg Assn | Pool AD0931 | 142,933 | 157 | 157 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0006 | 66,356 | 75 | 74 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0012 | 360,577 | 407 | 400 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0063 | 54,263 | 61 | 58 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0379 | 88,177 | 96 | 97 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0380 | 308,817 | 336 | 338 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0381 | 1,515,897 | 1,649 | 1,662 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0382 | 225,103 | 245 | 247 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0442 | 369,480 | 417 | 410 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0616 | 70,450 | 78 | 78 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0620 | 212,778 | 231 | 233 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0875 | 324,352 | 353 | 355 | ||||||||||||
Federal Natl Mtg Assn | Pool AE0952 | 145,541 | 163 | 157 | ||||||||||||
Federal Natl Mtg Assn | Pool AL0144 | 41,752 | 45 | 45 | ||||||||||||
Federal Natl Mtg Assn | Pool AL0406 | 115,739 | 127 | 125 | ||||||||||||
Federal Natl Mtg Assn | Pool AL0852 | 58,338 | 64 | 63 | ||||||||||||
Federal Natl Mtg Assn | Pool AL1043 | 126,272 | 135 | 134 | ||||||||||||
Federal Natl Mtg Assn | Pool AL2439 | 1,013,574 | 1,104 | 1,093 | ||||||||||||
Federal Natl Mtg Assn | Pool AL2617 | 87,879 | 96 | 97 | ||||||||||||
Federal Natl Mtg Assn | Pool AL3442 | 749,436 | 804 | 808 | ||||||||||||
Federal Natl Mtg Assn | Pool AL4147 | 1,202,850 | 1,277 | 1,283 | ||||||||||||
Federal Natl Mtg Assn | Pool AL4165 | 8,065,723 | 8,630 | 8,596 |
Federal Natl Mtg Assn | Pool MA3894 | 1,725,249 | $ | 1,840 | $ | 1,802 | ||||||||||
Total mortgages | 93,891 | |||||||||||||||
U.S. government securities | ||||||||||||||||
Kingdom of Spain | Sr Unsecured 144A 03/18 4.000% | 1,500,000 | 1,495 | 1,525 | ||||||||||||
US Treasury | N/B 02/14 0.250% | 8,200,000 | 8,208 | 8,202 | ||||||||||||
US Treasury | N/B 05/14 1.000% | 3,500,000 | 3,517 | 3,512 | ||||||||||||
US Treasury | N/B 07/14 0.125% | 2,395,000 | 2,395 | 2,395 | ||||||||||||
California St | Cas 03/40 Fixed 7.625% | 785,000 | 1,030 | 1,027 | ||||||||||||
California St | Cas 04/34 Fixed 7.500% | 1,420,000 | 1,789 | 1,812 | ||||||||||||
California St | Cas 04/39 Fixed 7.550% | 2,240,000 | 2,874 | 2,897 | ||||||||||||
California St | Cas 10/19 Fixed 6.200% | 195,000 | 231 | 227 | ||||||||||||
California St | Cas 10/39 Fixed 7.300% | 710,000 | 894 | 893 | ||||||||||||
Illinois St | Ils 03/16 Fixed 4.961% | 540,000 | 584 | 575 | ||||||||||||
Illinois St | Ils 03/17 Fixed 5.365% | 1,840,000 | 2,023 | 1,997 | ||||||||||||
Illinois St | Ils 03/18 Fixed 5.665% | 2,100,000 | 2,349 | 2,287 | ||||||||||||
Los Angeles Ca Unif Sch Dist | Losscd 07/34 Fixed 6.758% | 1,285,000 | 1,692 | 1,579 | ||||||||||||
New Jersey St Turnpike Auth | NJSTRN 01/40 Fixed 7.414% | 375,000 | 479 | 494 | ||||||||||||
New Jersey St Turnpike Auth | NJSTRN 01/41 Fixed 7.102% | 1,770,000 | 2,453 | 2,254 | ||||||||||||
Total U.S. government securities | 31,676 | |||||||||||||||
Asset-backed securities | ||||||||||||||||
Chase Issuance Trust | CHAIT 2012 A8 A8 | 2,800,000 | 2,800 | 2,796 | ||||||||||||
SLM SStudent Loan Trust | SLMA 2012 C A2 144A | 2,020,000 | 2,045 | 2,089 | ||||||||||||
Small Business Administration | SBAP 2001 20L 1 | 58,336 | 65 | 64 | ||||||||||||
Small Business Administration | SBAP 2005 20E 1 | 67,986 | 76 | 72 | ||||||||||||
Small Business Administration | SBAP 2005 20G 1 | 73,824 | 82 | 79 | ||||||||||||
Small Business Administration | SBAP 2005 20I 1 | 82,368 | 92 | 88 | ||||||||||||
Small Business Administration | SBAP 2006 20A 1 | 88,403 | 99 | 95 | ||||||||||||
Small Business Administration | SBAP 2006 20C 1 | 121,154 | 137 | 132 | ||||||||||||
Small Business Administration | SBAP 2006 20G 1 | 230,155 | 264 | 256 | ||||||||||||
Small Business Administration | SBAP 2007 20A 1 | 129,433 | 145 | 141 | ||||||||||||
Small Business Administration | SBAP 2007 20C 1 | 197,499 | 223 | 214 | ||||||||||||
Small Business Administration | SBAP 2007 20D 1 | 199,481 | 226 | 218 | ||||||||||||
Small Business Administration | SBAP 2007 20G 1 | 135,738 | 156 | 149 | ||||||||||||
Total asset-backed securities | 6,393 | |||||||||||||||
Cash equivalents | ||||||||||||||||
* | State Street Bank & Trust Co | Short Term Investment Fund | 7,013,316 | 7,013 | 7,013 | |||||||||||
Receivables | 1,349 | |||||||||||||||
Liabilities | (140 | ) | ||||||||||||||
TOTAL SEPARATE ACCOUNT | 258,401 |
TOTAL INVESTMENTS PER FINANCIAL STATEMENTS | $ | 19,393,397 | ||||||||||||||
* | NOTES RECEIVABLE FROM PARTICIPANTS | Interest rates ranging from 2.86% to 12.00% | — | — | $ | 143,105 | ||||||||||
TOTAL INVESTMENTS PER FORM 5500 | $ | 19,536,502 |
CHEVRON EMPLOYEE SAVINGS INVESTMENT PLAN | |||||||||||||||||||||||||||||
EIN 94-0890210 PLAN NO. 001 | |||||||||||||||||||||||||||||
SCHEDULE H - PART IV, LINE 4(j) - SCHEDULE OF REPORTABLE TRANSACTIONS | |||||||||||||||||||||||||||||
FOR THE YEAR ENDED DECEMBER 31, 2013 | |||||||||||||||||||||||||||||
(thousands of dollars) | |||||||||||||||||||||||||||||
(a) | (b) | (c) | (d) | (e) | (f) | (g) | (h) | (i) | |||||||||||||||||||||
Identity of party involved | Description of asset (include interest rate and maturity in case of a loan) | Purchase price | Selling price | Lease rental | Expense incurred with transaction | Cost of asset | Current value of asset on transaction date | Net gain or (loss) | |||||||||||||||||||||
Category (iii) - Series of Transactions (Aggregate) in Excess of 5% of Plan Assets | |||||||||||||||||||||||||||||
Vanguard* | Vanguard Prime MM Inst | $ | 856,082,798 | $ | — | N/A | $ | — | $ | — | $ | 856,082,798 | $ | — | |||||||||||||||
Vanguard* | Vanguard Prime MM Inst | — | 884,877,956 | N/A | — | 884,877,956 | 884,877,956 | — | |||||||||||||||||||||
Chevron Corporation* | Common Stock | 1,132,798,410 | — | N/A | — | — | 1,032,497,739 | — | |||||||||||||||||||||
Chevron Corporation* | Common Stock | — | 1,132,798,410 | N/A | — | 746,832,122 | 1,132,798,410 | 385,966,288 | |||||||||||||||||||||
There were no category (i), (ii) or (iv) reportable transactions during the year ended December 31, 2013. | |||||||||||||||||||||||||||||
* Party-in-interest as defined by ERISA. |