ý | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
¨ | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
One Amgen Center Drive, | 91320-1799 | |
Thousand Oaks, California | (Zip Code) | |
(Address of principal executive offices) |
Audited Financial Statements: | |
Supplemental Schedule: | |
December 31 | ||||||||
2013 | 2012 | |||||||
Assets | ||||||||
Investments at fair value | $ | 274,900,596 | $ | 205,455,233 | ||||
Notes receivable from participants | 15,605,826 | 14,324,229 | ||||||
Other – principally due from broker | 249,318 | 192,076 | ||||||
Total assets | 290,755,740 | 219,971,538 | ||||||
Liabilities | ||||||||
Other – principally due to broker | 214,079 | 247,008 | ||||||
Net assets reflecting investments at fair value | 290,541,661 | 219,724,530 | ||||||
Adjustment from fair value to contract value for interest in collective trust fund relating to fully benefit-responsive investment contracts | (177,233 | ) | (543,924 | ) | ||||
Net assets available for benefits | $ | 290,364,428 | $ | 219,180,606 |
Year Ended December 31 | ||||||||
2013 | 2012 | |||||||
Additions to (deductions from) net assets: | ||||||||
Employer contributions | $ | 13,597,067 | $ | 13,701,968 | ||||
Participant contributions | 11,169,958 | 10,398,675 | ||||||
Rollover contributions | 691,456 | 218,758 | ||||||
Interest and dividend income | 2,364,435 | 2,032,895 | ||||||
Net realized/unrealized gains | 52,246,722 | 29,003,843 | ||||||
Interest income on notes receivable from participants | 602,165 | 575,959 | ||||||
Benefits paid | (9,087,392 | ) | (6,043,477 | ) | ||||
Investment and administrative fees | (400,589 | ) | (331,493 | ) | ||||
Net increase | 71,183,822 | 49,557,128 | ||||||
Net assets available for benefits at beginning of year | 219,180,606 | 169,623,478 | ||||||
Net assets available for benefits at end of year | $ | 290,364,428 | $ | 219,180,606 |
Fair value measurements at December 31, 2013 using | ||||||||||||||||
Quoted prices in active markets for identical assets (Level 1) | Significant other observable inputs (Level 2) | Significant unobservable inputs (Level 3) | Total | |||||||||||||
Amgen stock | $ | 54,032,973 | $ | — | $ | — | $ | 54,032,973 | ||||||||
Cash and cash equivalents | 261,284 | — | — | 261,284 | ||||||||||||
Common and preferred stocks: | ||||||||||||||||
Large cap growth | 23,690,533 | — | — | 23,690,533 | ||||||||||||
Large cap value | 9,304,001 | — | — | 9,304,001 | ||||||||||||
Small-mid cap growth | 1,766,219 | — | — | 1,766,219 | ||||||||||||
Small-mid cap value | 22,678,407 | — | — | 22,678,407 | ||||||||||||
Other | 832,271 | — | — | 832,271 | ||||||||||||
Mutual funds: | ||||||||||||||||
Emerging markets equity | 1,734,759 | — | — | 1,734,759 | ||||||||||||
Fixed income | 6,418,886 | — | — | 6,418,886 | ||||||||||||
High yield debt | 4,663,790 | — | — | 4,663,790 | ||||||||||||
International growth | 4,933,253 | — | — | 4,933,253 | ||||||||||||
International value | 13,581,116 | — | — | 13,581,116 | ||||||||||||
Real estate investment index | 5,079,653 | — | — | 5,079,653 | ||||||||||||
Small-mid cap growth | 1,666,558 | — | — | 1,666,558 | ||||||||||||
Collective trust funds: | ||||||||||||||||
Capital preservation | — | 22,331,310 | — | 22,331,310 | ||||||||||||
Emerging markets equity | — | 3,881,576 | — | 3,881,576 | ||||||||||||
Fixed income | — | 7,614,515 | — | 7,614,515 | ||||||||||||
Fixed income index | — | 3,113,934 | — | 3,113,934 | ||||||||||||
Inflation indexed debt | — | 1,774,200 | — | 1,774,200 | ||||||||||||
International growth | — | 5,751,246 | — | 5,751,246 | ||||||||||||
International index | — | 1,391,893 | 1,391,893 | |||||||||||||
International value | — | 904,908 | — | 904,908 | ||||||||||||
Large cap growth | — | 1,769,683 | — | 1,769,683 | ||||||||||||
Large cap index | — | 54,109,878 | — | 54,109,878 | ||||||||||||
Large cap value | — | 583,305 | — | 583,305 | ||||||||||||
Short term investments | — | 3,306,339 | — | 3,306,339 | ||||||||||||
Small-mid cap growth | — | 278,605 | — | 278,605 | ||||||||||||
Small-mid cap index | — | 16,157,311 | — | 16,157,311 | ||||||||||||
Small-mid cap value | — | 1,288,190 | — | 1,288,190 | ||||||||||||
$ | 150,643,703 | $ | 124,256,893 | $ | — | $ | 274,900,596 |
Fair value measurements at December 31, 2012 using | ||||||||||||||||
Quoted prices in active markets for identical assets (Level 1) | Significant other observable inputs (Level 2) | Significant unobservable inputs (Level 3) | Total | |||||||||||||
Amgen stock | $ | 39,777,427 | $ | — | $ | — | $ | 39,777,427 | ||||||||
Cash and cash equivalents | 169,867 | — | — | 169,867 | ||||||||||||
Common and preferred stocks: | ||||||||||||||||
Large cap growth | 17,971,848 | — | — | 17,971,848 | ||||||||||||
Large cap value | 4,921,690 | — | — | 4,921,690 | ||||||||||||
Small-mid cap growth | 1,966,733 | — | — | 1,966,733 | ||||||||||||
Small-mid cap value | 15,271,526 | 8,794 | — | 15,280,320 | ||||||||||||
Other | 684,275 | — | — | 684,275 | ||||||||||||
Mutual funds: | ||||||||||||||||
High yield debt | 3,771,941 | — | — | 3,771,941 | ||||||||||||
Inflation indexed debt | 1,078,504 | — | — | 1,078,504 | ||||||||||||
International growth | 6,661,875 | — | — | 6,661,875 | ||||||||||||
International value | 10,242,760 | — | — | 10,242,760 | ||||||||||||
Real estate investment trust index | 4,999,478 | — | — | 4,999,478 | ||||||||||||
Collective trust funds: | ||||||||||||||||
Capital preservation | — | 19,299,926 | — | 19,299,926 | ||||||||||||
Emerging markets equity | — | 6,276,475 | — | 6,276,475 | ||||||||||||
Fixed income | — | 11,388,372 | — | 11,388,372 | ||||||||||||
Inflation indexed debt | — | 87,961 | — | 87,961 | ||||||||||||
International growth | — | 2,834,318 | — | 2,834,318 | ||||||||||||
International value | — | 931,634 | — | 931,634 | ||||||||||||
Large cap growth | — | 821,472 | — | 821,472 | ||||||||||||
Large cap index | — | 41,487,995 | — | 41,487,995 | ||||||||||||
Large cap value | — | 231,842 | — | 231,842 | ||||||||||||
Short term investments | — | 3,617,535 | — | 3,617,535 | ||||||||||||
Small-mid cap growth | — | 112,439 | — | 112,439 | ||||||||||||
Small-mid cap index | — | 9,140,982 | — | 9,140,982 | ||||||||||||
Small-mid cap value | — | 1,697,564 | — | 1,697,564 | ||||||||||||
$ | 107,517,924 | $ | 97,937,309 | $ | — | $ | 205,455,233 |
December 31 | ||||||||
2013 | 2012 | |||||||
Northern Trust Collective S&P 500 Index Fund – Non Lending – Collective trust fund | $ | 54,109,878 | * | |||||
Amgen stock | 54,032,973 | $ | 39,777,427 | |||||
Wells Fargo Stable Return Fund G – Collective trust fund | 22,331,310 | 19,299,926 | ||||||
Northern Trust Collective Extended Equity Market Index Fund – Non Lending – Collective trust fund | 16,157,311 | * | ||||||
Blackrock Equity Index Fund F – Collective trust fund | * | 37,505,088 |
Year Ended December 31 | ||||||||
2013 | 2012 | |||||||
Amgen stock | $ | 13,117,987 | $ | 10,071,262 | ||||
Common and preferred stocks | 16,113,118 | 6,252,359 | ||||||
Mutual funds | 3,579,902 | 3,215,869 | ||||||
Collective trust funds | 19,450,480 | 9,463,527 | ||||||
Other | (14,765 | ) | 826 | |||||
$ | 52,246,722 | $ | 29,003,843 |
December 31 | ||||||||
2013 | 2012 | |||||||
Net assets available for benefits per the financial statements | $ | 290,364,428 | $ | 219,180,606 | ||||
Adjustment from fair value to contract value for fully benefit-responsive investment contracts | 177,233 | 543,924 | ||||||
Amounts allocated to withdrawing participants | (1,000 | ) | (3,361 | ) | ||||
Deemed loans | (244,834 | ) | (153,549 | ) | ||||
Net assets per the Form 5500 | $ | 290,295,827 | $ | 219,567,620 |
Year Ended December 31 2013 | ||||
Interest and dividend income | $ | 2,364,435 | ||
Net realized/unrealized gains | 52,246,722 | |||
Total net investment income per the financial statements | 54,611,157 | |||
Adjustment from fair value to contract value for interest in collective trust funds relating to fully benefit-responsive investment contracts: | ||||
Less prior year adjustment | (543,924 | ) | ||
Add current year adjustment | 177,233 | |||
Total net investment income per the Form 5500 | $ | 54,244,466 |
Year Ended December 31 2013 | ||||
Benefits paid | $ | (9,087,392 | ) | |
Investment and administrative fees | (400,589 | ) | ||
Total distributions per the financial statements | (9,487,981 | ) | ||
Add prior year amounts allocated to withdrawing participants | 3,361 | |||
Less current year amounts allocated to withdrawing participants | (1,000 | ) | ||
Add prior year deemed loan balance | 153,549 | |||
Less current year deemed loan balance | (244,834 | ) | ||
Total distributions per the Form 5500 | $ | (9,576,905 | ) |
Identity of Issue | Description of Investment | Current Value | ||||||||
Amgen stock* | Employer Securities 473,641 shares | $ | 54,032,973 | |||||||
Capital Preservation Asset Class: | ||||||||||
Wells Fargo Stable Return Fund G* | Collective trust fund 435,306 units | $ | 22,331,310 | |||||||
NT Collective Short Term Investment Fund* | Collective trust fund 1,329,239 units | 1,329,239 | ||||||||
Total Capital Preservation Asset Class | 23,660,549 | |||||||||
Emerging Markets Equity Asset Class: | ||||||||||
JP Morgan Emerging Markets Equity Focus Fund* | Collective trust fund 109,734 units | 1,894,014 | ||||||||
Artisan Emerging Markets Fund | Mutual Fund 137,898 shares | 1,734,759 | ||||||||
Blackrock FTSE RAFI Emerging Index Fund - Non Lendable* | Collective trust fund 158,446 units | 1,691,653 | ||||||||
NT Collective Emerging Markets Fund - Non Lending* | Collective trust fund 1,938 units | 295,909 | ||||||||
Total Emerging Markets Equity Asset Class | 5,616,335 | |||||||||
Fixed Income Asset Class: | ||||||||||
PIMCO Total Return Fund | Mutual Fund 600,457 shares | 6,418,884 | ||||||||
JP Morgan Core Bond Fund* | Collective trust fund 396,159 units | 6,401,926 | ||||||||
NT Collective Aggregate Bond Index Fund - Non Lending* | Collective trust fund 9,777 units | 1,212,589 | ||||||||
Total Fixed Income Asset Class | 14,033,399 | |||||||||
Fixed Income Index Asset Class: | ||||||||||
NT Collective Aggregate Bond Index Fund - Non Lending* | Collective trust fund 25,106 units | 3,113,934 | ||||||||
Total Fixed Income Index Asset Class | 3,113,934 | |||||||||
High Yield Asset Class: | ||||||||||
Blackrock High Yield Bond Fund | Mutual Fund 286,279 shares | 2,353,214 | ||||||||
Mainstay High Yield Corporate Bond Fund | Mutual Fund 381,913 shares | 2,310,575 | ||||||||
NT Collective Short Term Investment Fund* | Collective trust fund 350,387 units | 350,387 | ||||||||
Total High Yield Asset Class | 5,014,176 | |||||||||
Inflation Protection Asset Class: | ||||||||||
NT Collective Treasury Inflation-Protected Securities Index Fund - Non Lending* | Collective trust fund 13,818 units | 1,774,200 | ||||||||
Total Inflation Protection Asset Class | 1,774,200 | |||||||||
International Growth Asset Class: | ||||||||||
Artisan International Fund* | Collective trust fund 246,920 units | 5,128,530 | ||||||||
MFS Institutional International Equity Fund | Mutual Fund 219,940 shares | 4,933,253 | ||||||||
NT Collective EAFE Index Fund - Non Lending* | Collective trust fund 2,304 units | 622,716 | ||||||||
Thai baht | Cash and cash equivalents 411 units | 411 | ||||||||
Brazilian real | Cash and cash equivalents 115 units | 115 | ||||||||
Total International Growth Asset Class | 10,685,025 | |||||||||
International Index Asset Class: | ||||||||||
NT Collective All Country World Index (ACWI) Ex-US Fund - Non Lending* | Collective trust fund 10,625 units | 1,391,893 | ||||||||
Total International Index Asset Class | 1,391,893 | |||||||||
International Value Asset Class: | ||||||||||
Dodge & Cox International Fund | Mutual Fund 315,546 shares | 13,581,116 |
Identity of Issue | Description of Investment | Current Value | ||||||||
NT Collective EAFE Index Fund - Non Lending* | Collective trust fund 3,347 units | 904,908 | ||||||||
Total International Value Asset Class | 14,486,024 | |||||||||
Large Cap Growth Asset Class: | ||||||||||
NT Collective Russell 1000 Growth Index Fund - Non Lending* | Collective trust fund 7,147 units | 1,769,681 | ||||||||
Google Inc. Class A | Common and preferred stock 1,085 shares | 1,215,969 | ||||||||
Visa Inc. Class A | Common and preferred stock 4,770 shares | 1,062,182 | ||||||||
Amazon.com Inc. | Common and preferred stock 2,200 shares | 877,337 | ||||||||
Facebook Inc. | Common and preferred stock 12,360 shares | 675,597 | ||||||||
priceline.com Inc. | Common and preferred stock 578 shares | 671,867 | ||||||||
Salesforce.com Inc. | Common and preferred stock 11,310 shares | 624,199 | ||||||||
NT Collective Short Term Investment Fund* | Collective trust fund 478,577 units | 478,577 | ||||||||
Las Vegas Sands Corporation | Common and preferred stock 6,030 shares | 475,587 | ||||||||
Baidu, Inc. | Common and preferred stock 2,580 shares | 458,930 | ||||||||
Biogen Idec Inc. | Common and preferred stock 1,535 shares | 429,417 | ||||||||
Linkedin Corporation Class A | Common and preferred stock 1,660 shares | 359,938 | ||||||||
Chipotle Mexican Grill Inc. | Common and preferred stock 645 shares | 343,643 | ||||||||
Regeneron Pharmaceuticals, Inc. | Common and preferred stock 1,245 shares | 342,674 | ||||||||
Apple Inc. | Common and preferred stock 580 shares | 325,444 | ||||||||
ASML Holding N. V. | Common and preferred stock 3,375 shares | 316,238 | ||||||||
National Oilwell Varco, Inc. | Common and preferred stock 3,790 shares | 301,419 | ||||||||
Schlumberger Limited | Common and preferred stock 3,325 shares | 299,616 | ||||||||
Walt Disney Company | Common and preferred stock 3,921 shares | 299,564 | ||||||||
ARM Holdings PLC | Common and preferred stock 5,325 shares | 291,491 | ||||||||
Mastercard, Inc. Class A | Common and preferred stock 340 shares | 284,056 | ||||||||
Nike Inc. Class B | Common and preferred stock 3,600 shares | 283,104 | ||||||||
Gilead Sciences Inc. | Common and preferred stock 3,590 shares | 269,789 | ||||||||
Alexion Pharmaceuticals Inc. | Common and preferred stock 2,025 shares | 269,447 | ||||||||
Splunk Inc. | Common and preferred stock 3,900 shares | 267,813 | ||||||||
Starbucks Corporation | Common and preferred stock 3,413 shares | 267,545 | ||||||||
International Business Machines Corporation | Common and preferred stock 1,412 shares | 264,849 | ||||||||
Microsoft Corporation | Common and preferred stock 7,070 shares | 264,630 | ||||||||
Intuitive Surgical, Inc. | Common and preferred stock 655 shares | 251,572 | ||||||||
Monsanto Company | Common and preferred stock 2,025 shares | 236,014 | ||||||||
Southwestern Energy | Common and preferred stock 6,000 shares | 235,980 | ||||||||
Biomarin Pharmaceutical Inc. | Common and preferred stock 3,240 shares | 227,675 | ||||||||
Costco Wholesale Corporation | Common and preferred stock 1,870 shares | 222,549 | ||||||||
Honeywell International Inc. | Common and preferred stock 2,400 shares | 219,288 | ||||||||
Cerner Corporation | Common and preferred stock 3,875 shares | 215,993 | ||||||||
The Charles Schwab Corporation | Common and preferred stock 8,025 shares | 208,650 | ||||||||
Coca-Cola Company | Common and preferred stock 4,949 shares | 204,443 | ||||||||
Yahoo! Inc. | Common and preferred stock 5,040 shares | 203,818 | ||||||||
Ulta Salon Cosmetics & Fragrance Inc. | Common and preferred stock 2,050 shares | 197,866 | ||||||||
FMC Technologies Inc. | Common and preferred stock 3,775 shares | 197,093 | ||||||||
Liberty Global PLC | Common and preferred stock 2,170 shares | 193,108 | ||||||||
Oracle Corporation | Common and preferred stock 4,840 shares | 185,178 | ||||||||
Precision Castparts Corporation | Common and preferred stock 680 shares | 183,124 | ||||||||
Morgan Stanley | Common and preferred stock 5,760 shares | 180,634 | ||||||||
Expedia Inc. | Common and preferred stock 2,590 shares | 180,419 | ||||||||
Philip Morris International Inc. | Common and preferred stock 2,030 shares | 176,874 | ||||||||
Qualcomm Inc. | Common and preferred stock 2,343 shares | 173,968 | ||||||||
Sherwin-Williams Company | Common and preferred stock 930 shares | 170,655 | ||||||||
EOG Resources Inc. | Common and preferred stock 950 shares | 159,448 | ||||||||
Eaton Corporation PLC | Common and preferred stock 2,080 shares | 158,330 | ||||||||
IntercontinentalExchange Group Inc. | Common and preferred stock 690 shares | 155,195 | ||||||||
B/E Aerospace Inc. | Common and preferred stock 1,760 shares | 153,173 | ||||||||
Discover Financial Services | Common and preferred stock 2,720 shares | 152,184 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Monster Beverage Corporation | Common and preferred stock 2,150 shares | 145,706 | ||||||||
Affiliated Managers Group Inc. | Common and preferred stock 670 shares | 145,310 | ||||||||
Sirius XM Holdings Inc. | Common and preferred stock 39,910 shares | 139,286 | ||||||||
Actavis PLC | Common and preferred stock 820 shares | 137,760 | ||||||||
Allergan Inc. | Common and preferred stock 1,240 shares | 137,739 | ||||||||
Catamaran Corporation | Common and preferred stock 2,880 shares | 136,742 | ||||||||
Anadarko Petroleum Corporation | Common and preferred stock 1,720 shares | 136,431 | ||||||||
Estee Lauder Companies Inc. Class A | Common and preferred stock 1,710 shares | 128,797 | ||||||||
United Parcel Service Inc. Class B | Common and preferred stock 1,200 shares | 126,096 | ||||||||
CVS Caremark Corporation | Common and preferred stock 1,750 shares | 125,248 | ||||||||
JP Morgan Chase & Company* | Common and preferred stock 2,110 shares | 123,393 | ||||||||
Northern Trust Corporation* | Common and preferred stock 1,960 shares | 121,304 | ||||||||
Athenahealth Inc. | Common and preferred stock 900 shares | 121,050 | ||||||||
The Goldman Sachs Group Inc. | Common and preferred stock 680 shares | 120,537 | ||||||||
Discovery Communications Inc. | Common and preferred stock 1,320 shares | 119,354 | ||||||||
Accenture PLC | Common and preferred stock 1,440 shares | 118,397 | ||||||||
Fortune Brands Home & Securities Inc. | Common and preferred stock 2,570 shares | 117,449 | ||||||||
Express Scripts Holding Company | Common and preferred stock 1,660 shares | 116,598 | ||||||||
Celgene Corporation | Common and preferred stock 690 shares | 116,582 | ||||||||
Ralph Lauren Corporation Class A | Common and preferred stock 660 shares | 116,536 | ||||||||
Halliburton Company | Common and preferred stock 2,270 shares | 115,203 | ||||||||
Yandex NV Class A | Common and preferred stock 2,520 shares | 108,738 | ||||||||
American Tower Corporation | Common and preferred stock 1,360 shares | 108,555 | ||||||||
Wells Fargo & Company* | Common and preferred stock 2,360 shares | 107,144 | ||||||||
Under Armor Inc. Class A | Common and preferred stock 1,220 shares | 106,506 | ||||||||
Nordstrom, Inc. | Common and preferred stock 1,710 shares | 105,678 | ||||||||
Johnson & Johnson | Common and preferred stock 1,150 shares | 105,329 | ||||||||
Kansas City Southern | Common and preferred stock 850 shares | 105,256 | ||||||||
ServiceNow Inc. | Common and preferred stock 1,850 shares | 103,619 | ||||||||
Abbott Laboratories | Common and preferred stock 2,596 shares | 99,505 | ||||||||
Mondelez International Inc. | Common and preferred stock 2,790 shares | 98,487 | ||||||||
Omnicom Group Inc. | Common and preferred stock 1,321 shares | 98,243 | ||||||||
Stryker Corporation | Common and preferred stock 1,300 shares | 97,682 | ||||||||
FleetCor Technologies Inc. | Common and preferred stock 830 shares | 97,251 | ||||||||
Red Hat Inc. | Common and preferred stock 1,710 shares | 95,828 | ||||||||
The Gap Inc. | Common and preferred stock 2,440 shares | 95,355 | ||||||||
Jarden Corporation | Common and preferred stock 1,530 shares | 93,866 | ||||||||
eBay Inc. | Common and preferred stock 1,710 shares | 93,862 | ||||||||
T Rowe Price Group Inc. | Common and preferred stock 1,108 shares | 92,817 | ||||||||
Medtronic Inc. | Common and preferred stock 1,600 shares | 91,824 | ||||||||
Equinix Inc. | Common and preferred stock 510 shares | 90,500 | ||||||||
Parker-Hannifin Corporation | Common and preferred stock 660 shares | 84,902 | ||||||||
Verisk Analytics Inc. Class A | Common and preferred stock 1,290 shares | 84,779 | ||||||||
Intuit Inc. | Common and preferred stock 1,110 shares | 84,715 | ||||||||
Bed Bath & Beyond Inc. | Common and preferred stock 1,049 shares | 84,235 | ||||||||
Scripps Networks Interactive Inc. Class A | Common and preferred stock 970 shares | 83,818 | ||||||||
VeriSign Inc. | Common and preferred stock 1,380 shares | 82,496 | ||||||||
Starwood Hotels & Resorts Worldwide Inc. | Common and preferred stock 1,030 shares | 81,834 | ||||||||
Chicago Bridge & Iron Company | Common and preferred stock 940 shares | 78,152 | ||||||||
TJX Companies Inc. | Common and preferred stock 1,210 shares | 77,113 | ||||||||
Rockwell Automation Inc. | Common and preferred stock 650 shares | 76,804 | ||||||||
Intel Corporation | Common and preferred stock 2,950 shares | 76,582 | ||||||||
F5 Networks Inc. | Common and preferred stock 840 shares | 76,322 | ||||||||
EMC Corporation | Common and preferred stock 3,020 shares | 75,953 | ||||||||
Paccar Inc. | Common and preferred stock 1,260 shares | 74,554 | ||||||||
Marsh & McLennan Companies Inc. | Common and preferred stock 1,530 shares | 73,991 | ||||||||
Becton, Dickinson and Company | Common and preferred stock 650 shares | 71,819 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Church & Dwight Inc. | Common and preferred stock 1,080 shares | 71,582 | ||||||||
Yelp Inc. Class A | Common and preferred stock 1,030 shares | 71,019 | ||||||||
Cardinal Health Inc. | Common and preferred stock 1,040 shares | 69,482 | ||||||||
VMware Inc. | Common and preferred stock 740 shares | 66,385 | ||||||||
Occidental Petroleum Corporation | Common and preferred stock 690 shares | 65,619 | ||||||||
Ingersoll-Rand PLC | Common and preferred stock 1,050 shares | 64,680 | ||||||||
Adobe Systems Inc. | Common and preferred stock 1,060 shares | 63,473 | ||||||||
Joy Global Inc. | Common and preferred stock 1,070 shares | 62,584 | ||||||||
Covidien PLC | Common and preferred stock 910 shares | 61,971 | ||||||||
PulteGroup Inc. | Common and preferred stock 2,980 shares | 60,703 | ||||||||
Alaska Air Group Inc. | Common and preferred stock 820 shares | 60,163 | ||||||||
Mattel Inc. | Common and preferred stock 1,260 shares | 59,951 | ||||||||
SM Energy Company | Common and preferred stock 720 shares | 59,839 | ||||||||
Chevron Corporation | Common and preferred stock 470 shares | 58,708 | ||||||||
Harley-Davidson Motor Company | Common and preferred stock 840 shares | 58,162 | ||||||||
Coach Inc. | Common and preferred stock 1,020 shares | 57,253 | ||||||||
Petsmart Inc. | Common and preferred stock 780 shares | 56,745 | ||||||||
Agilent Technologies Inc. | Common and preferred stock 990 shares | 56,618 | ||||||||
CF Industries Holdings, Inc. | Common and preferred stock 230 shares | 53,599 | ||||||||
L Brands Inc. | Common and preferred stock 829 shares | 51,274 | ||||||||
Citrix Systems, Inc. | Common and preferred stock 780 shares | 49,335 | ||||||||
Teradata Corporation | Common and preferred stock 1,060 shares | 48,219 | ||||||||
Ecolab, Inc. | Common and preferred stock 460 shares | 47,964 | ||||||||
Total Large Cap Growth Asset Class | 25,938,794 | |||||||||
Large Cap Index Asset Class: | ||||||||||
NT Collective S&P 500 Index Fund – Non Lending* | Collective trust fund 9,288 units | 54,109,878 | ||||||||
Total Large Cap Index Asset Class | 54,109,878 | |||||||||
Large Cap Value Asset Class: | ||||||||||
NT Collective Russell 1000 Value Index Fund - Non Lending* | Collective trust fund 2,355 units | 583,305 | ||||||||
Wells Fargo & Company* | Common and preferred stock 6,253 shares | 283,885 | ||||||||
Comcast Corporation Class A | Common and preferred stock 4,697 shares | 244,079 | ||||||||
Merck & Company Inc. | Common and preferred stock 4,647 shares | 232,581 | ||||||||
Microsoft Corporation | Common and preferred stock 6,116 shares | 228,922 | ||||||||
General Electric Company | Common and preferred stock 7,829 shares | 219,447 | ||||||||
NT Collective Short Term Investment Fund* | Collective trust fund 215,064 units | 215,064 | ||||||||
Pfizer Inc. | Common and preferred stock 6,858 shares | 210,061 | ||||||||
Sanofi-Aventis | Common and preferred stock 3,804 shares | 204,009 | ||||||||
Schlumberger Limited | Common and preferred stock 2,191 shares | 197,432 | ||||||||
Chevron Corporation | Common and preferred stock 1,551 shares | 193,735 | ||||||||
Capital One Financial Corporation | Common and preferred stock 2,500 shares | 191,525 | ||||||||
Hewlett-Packard Company | Common and preferred stock 6,400 shares | 179,072 | ||||||||
Bank of America Corporation* | Common and preferred stock 11,013 shares | 171,472 | ||||||||
JP Morgan Chase & Company* | Common and preferred stock 2,745 shares | 160,528 | ||||||||
Time Warner Inc. | Common and preferred stock 2,000 shares | 139,440 | ||||||||
MetLife Inc. | Common and preferred stock 2,473 shares | 133,344 | ||||||||
Novartis AG | Common and preferred stock 1,600 shares | 128,608 | ||||||||
The Charles Schwab Corporation | Common and preferred stock 4,700 shares | 122,200 | ||||||||
Glaxosmithkline PLC | Common and preferred stock 2,200 shares | 117,458 | ||||||||
UnitedHealth Group Inc. | Common and preferred stock 1,550 shares | 116,715 | ||||||||
Liberty Interactive Corporation | Common and preferred stock 3,903 shares | 114,553 | ||||||||
Time Warner Cable Inc. | Common and preferred stock 800 shares | 108,400 | ||||||||
FedEx Corporation | Common and preferred stock 750 shares | 107,828 | ||||||||
The Goldman Sachs Group Inc. | Common and preferred stock 600 shares | 106,356 | ||||||||
Roche Holdings Limited | Common and preferred stock 1,500 shares | 105,300 | ||||||||
Forest Laboratories Inc. | Common and preferred stock 1,753 shares | 105,233 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Bank of New York Mellon Corporation | Common and preferred stock 3,000 shares | 104,820 | ||||||||
Vodafone Group PLC | Common and preferred stock 2,445 shares | 96,113 | ||||||||
Symantec Corporation | Common and preferred stock 4,000 shares | 94,320 | ||||||||
State Street Corporation | Common and preferred stock 1,201 shares | 88,141 | ||||||||
Exxon Mobil Corporation | Common and preferred stock 870 shares | 88,044 | ||||||||
Twenty-First Century Fox Inc. Class A | Common and preferred stock 2,500 shares | 87,950 | ||||||||
Ameriprise Financial Inc. | Common and preferred stock 750 shares | 86,288 | ||||||||
Vulcan Materials Company | Common and preferred stock 1,318 shares | 78,316 | ||||||||
Illinois Tool Works Inc. | Common and preferred stock 902 shares | 75,840 | ||||||||
Unum Group | Common and preferred stock 2,105 shares | 73,843 | ||||||||
Northrop Grumman Corporation | Common and preferred stock 638 shares | 73,121 | ||||||||
Motorola Solutions Inc. | Common and preferred stock 1,082 shares | 73,035 | ||||||||
Citigroup, Inc. | Common and preferred stock 1,401 shares | 73,006 | ||||||||
EMC Corporation | Common and preferred stock 2,816 shares | 70,822 | ||||||||
Wal-Mart Stores Inc. | Common and preferred stock 900 shares | 70,821 | ||||||||
Omnicom Group Inc. | Common and preferred stock 927 shares | 68,941 | ||||||||
PNC Financial Services Group | Common and preferred stock 888 shares | 68,891 | ||||||||
Sealed Air Corporation | Common and preferred stock 2,001 shares | 68,134 | ||||||||
Eaton Corporation PLC | Common and preferred stock 891 shares | 67,823 | ||||||||
Discover Financial Services | Common and preferred stock 1,210 shares | 67,700 | ||||||||
Norfolk Southern Corporation | Common and preferred stock 729 shares | 67,673 | ||||||||
Marathon Oil Corporation | Common and preferred stock 1,916 shares | 67,635 | ||||||||
Lowes Companies Inc. | Common and preferred stock 1,361 shares | 67,438 | ||||||||
Eli Lilly & Company | Common and preferred stock 1,314 shares | 67,014 | ||||||||
Baker Hughes Inc. | Common and preferred stock 1,200 shares | 66,312 | ||||||||
TE Connectivity Limited | Common and preferred stock 1,200 shares | 66,132 | ||||||||
American International Group Inc. | Common and preferred stock 1,293 shares | 66,008 | ||||||||
E. I. du Pont de Nemours & Company | Common and preferred stock 1,013 shares | 65,815 | ||||||||
Hess Corporation LLC | Common and preferred stock 786 shares | 65,238 | ||||||||
Noble Energy Inc. | Common and preferred stock 956 shares | 65,113 | ||||||||
Weyerhaeuser Company | Common and preferred stock 2,038 shares | 64,340 | ||||||||
Viacom Inc. Class B | Common and preferred stock 736 shares | 64,282 | ||||||||
Philip Morris International Inc. | Common and preferred stock 736 shares | 64,128 | ||||||||
Covidien PLC | Common and preferred stock 941 shares | 64,082 | ||||||||
General Motors Company | Common and preferred stock 1,567 shares | 64,043 | ||||||||
Texas Instruments Inc. | Common and preferred stock 1,446 shares | 63,494 | ||||||||
AOL Inc. | Common and preferred stock 1,331 shares | 62,051 | ||||||||
CVS Caremark Corporation | Common and preferred stock 864 shares | 61,836 | ||||||||
Travelers Companies Inc. | Common and preferred stock 673 shares | 60,933 | ||||||||
Apache Corporation | Common and preferred stock 700 shares | 60,158 | ||||||||
Mondelez International Inc. | Common and preferred stock 1,697 shares | 59,904 | ||||||||
Family Dollar Stores Inc. | Common and preferred stock 914 shares | 59,383 | ||||||||
Verizon Communications Inc. | Common and preferred stock 1,185 shares | 58,231 | ||||||||
NetApp Inc. | Common and preferred stock 1,400 shares | 57,596 | ||||||||
NextEra Energy Inc. | Common and preferred stock 661 shares | 56,595 | ||||||||
Bristol-Myers Squibb Company | Common and preferred stock 1,056 shares | 56,126 | ||||||||
Google Inc. Class A | Common and preferred stock 50 shares | 56,036 | ||||||||
Honeywell International Inc. | Common and preferred stock 607 shares | 55,462 | ||||||||
eBay Inc. | Common and preferred stock 1,000 shares | 54,890 | ||||||||
Fifth Third Bancorp | Common and preferred stock 2,547 shares | 53,563 | ||||||||
Apple Inc. | Common and preferred stock 95 shares | 53,305 | ||||||||
PepsiCo Inc. | Common and preferred stock 641 shares | 53,165 | ||||||||
Valero Energy Corporation | Common and preferred stock 1,020 shares | 51,408 | ||||||||
Legg Mason Inc. | Common and preferred stock 1,175 shares | 51,089 | ||||||||
Cisco Systems Inc. | Common and preferred stock 2,266 shares | 50,872 | ||||||||
Corning Inc. | Common and preferred stock 2,800 shares | 49,896 | ||||||||
HCA Holdings, Inc. | Common and preferred stock 978 shares | 46,660 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Dish Network Corporation Class A | Common and preferred stock 800 shares | 46,336 | ||||||||
US Bancorp | Common and preferred stock 1,101 shares | 44,480 | ||||||||
Celanese Corporation | Common and preferred stock 800 shares | 44,248 | ||||||||
Calpine Corporation | Common and preferred stock 2,235 shares | 43,605 | ||||||||
Deere & Company | Common and preferred stock 466 shares | 42,560 | ||||||||
Liberty Global PLC | Common and preferred stock 476 shares | 42,359 | ||||||||
Tyco International Limited | Common and preferred stock 1,000 shares | 41,040 | ||||||||
DIRECTV | Common and preferred stock 589 shares | 40,694 | ||||||||
Terex Corporation | Common and preferred stock 969 shares | 40,688 | ||||||||
Synopsys Inc. | Common and preferred stock 1,000 shares | 40,570 | ||||||||
Nokia Corporation | Common and preferred stock 5,000 shares | 40,550 | ||||||||
The ADT Corporation | Common and preferred stock 1,000 shares | 40,470 | ||||||||
The Dow Chemical Company | Common and preferred stock 900 shares | 39,960 | ||||||||
Coach Inc. | Common and preferred stock 700 shares | 39,291 | ||||||||
BB&T Corporation | Common and preferred stock 1,000 shares | 37,320 | ||||||||
Koninklijke Philips NV | Common and preferred stock 1,000 shares | 36,970 | ||||||||
Adobe Systems Inc. | Common and preferred stock 600 shares | 35,928 | ||||||||
Consol Energy Inc. | Common and preferred stock 944 shares | 35,910 | ||||||||
Sprint Corporation | Common and preferred stock 3,324 shares | 35,733 | ||||||||
Dover Corporation | Common and preferred stock 368 shares | 35,527 | ||||||||
McGraw Hill Financial Inc. | Common and preferred stock 450 shares | 35,190 | ||||||||
Computer Sciences Corporation | Common and preferred stock 600 shares | 33,528 | ||||||||
Firstenergy Corporation | Common and preferred stock 1,012 shares | 33,376 | ||||||||
Sun Trust Banks Inc. | Common and preferred stock 900 shares | 33,129 | ||||||||
Xerox Corporation | Common and preferred stock 2,600 shares | 31,642 | ||||||||
Boston Scientific Corporation | Common and preferred stock 2,600 shares | 31,252 | ||||||||
Weatherford International Limited | Common and preferred stock 2,000 shares | 30,980 | ||||||||
Procter & Gamble Company | Common and preferred stock 369 shares | 30,040 | ||||||||
Unilever PLC | Common and preferred stock 700 shares | 28,840 | ||||||||
Medtronic Inc. | Common and preferred stock 500 shares | 28,695 | ||||||||
Aegon N.V. | Common and preferred stock 3,000 shares | 28,440 | ||||||||
AutoNation Inc. | Common and preferred stock 569 shares | 28,274 | ||||||||
Express Scripts Holding Company | Common and preferred stock 400 shares | 28,096 | ||||||||
HSBC Holdings PLC | Common and preferred stock 500 shares | 27,565 | ||||||||
Cigna Corporation | Common and preferred stock 300 shares | 26,244 | ||||||||
Oracle Corporation | Common and preferred stock 679 shares | 25,979 | ||||||||
CarMax Inc. | Common and preferred stock 500 shares | 23,510 | ||||||||
Panasonic Corporation | Common and preferred stock 2,000 shares | 23,320 | ||||||||
Maxim Integrated Products Inc. | Common and preferred stock 700 shares | 19,537 | ||||||||
Cadence Design Systems, Inc. | Common and preferred stock 1,000 shares | 14,020 | ||||||||
News Corporation Class A | Common and preferred stock 700 shares | 12,614 | ||||||||
Domtar Corporation | Common and preferred stock 100 shares | 9,434 | ||||||||
Total Large Cap Value Asset Class | 10,102,371 | |||||||||
Participant Self-Directed Accounts | 1,093,029 | |||||||||
Real Estate Investment Trust (REIT) Asset Class: | ||||||||||
Vanguard Specialized Portfolios REIT Index Fund Institutional Class | Mutual Fund 358,227 shares | 5,079,653 | ||||||||
NT Collective Short Term Investment Fund* | Collective trust fund 260,633 units | 260,633 | ||||||||
Total Real Estate Investment Trust (REIT) Asset Class | 5,340,286 | |||||||||
Small-Mid Cap Growth Asset Class: | ||||||||||
Wasatch Small Cap Growth Fund | Mutual Fund 31,693 shares | 1,662,930 | ||||||||
NT Collective Russell 2000 Growth Index Fund - Non Lending* | Collective trust fund 1,152 units | 278,605 | ||||||||
B/E Aerospace Inc. | Common and preferred stock 584 shares | 50,825 | ||||||||
Manhattan Associates, Inc. | Common and preferred stock 321 shares | 37,710 | ||||||||
Ultimate Software Group Inc. | Common and preferred stock 242 shares | 37,078 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Costar Group Inc. | Common and preferred stock 200 shares | 36,915 | ||||||||
Signature Bank of New York | Common and preferred stock 334 shares | 35,877 | ||||||||
Affiliated Managers Group Inc. | Common and preferred stock 165 shares | 35,784 | ||||||||
MWI Veterinary Supply, Inc. | Common and preferred stock 200 shares | 34,117 | ||||||||
Polaris Industries Inc. | Common and preferred stock 234 shares | 34,080 | ||||||||
Cooper Companies Inc. | Common and preferred stock 263 shares | 32,570 | ||||||||
Jack Henry & Associates Inc. | Common and preferred stock 517 shares | 30,612 | ||||||||
United Rentals, Inc. | Common and preferred stock 392 shares | 30,556 | ||||||||
West Pharmaceutical Services Inc. | Common and preferred stock 592 shares | 29,044 | ||||||||
Brunswick Corporation | Common and preferred stock 624 shares | 28,741 | ||||||||
Old Dominion Freight Line, Inc. | Common and preferred stock 528 shares | 27,995 | ||||||||
Middleby Corporation | Common and preferred stock 109 shares | 26,157 | ||||||||
Jarden Corporation | Common and preferred stock 403 shares | 24,724 | ||||||||
Cardtronics Inc. | Common and preferred stock 566 shares | 24,593 | ||||||||
Prestige Brands Holdings Inc. | Common and preferred stock 686 shares | 24,559 | ||||||||
Align Technology Inc. | Common and preferred stock 425 shares | 24,289 | ||||||||
LKQ Corporation | Common and preferred stock 715 shares | 23,524 | ||||||||
Geospace Technologies Corporation | Common and preferred stock 246 shares | 23,328 | ||||||||
Cyberonics Inc. | Common and preferred stock 348 shares | 22,797 | ||||||||
Lincoln Electric Holdings Inc. | Common and preferred stock 318 shares | 22,686 | ||||||||
PrivateBancorp, Inc. | Common and preferred stock 779 shares | 22,536 | ||||||||
WisdomTree Investments Inc. | Common and preferred stock 1,264 shares | 22,385 | ||||||||
Air Methods Corporation | Common and preferred stock 375 shares | 21,874 | ||||||||
Westlake Chemical Corporation | Common and preferred stock 179 shares | 21,851 | ||||||||
Fortune Brands Home & Securities Inc. | Common and preferred stock 474 shares | 21,662 | ||||||||
Covance Inc. | Common and preferred stock 245 shares | 21,575 | ||||||||
GNC Holdings Inc. | Common and preferred stock 361 shares | 21,100 | ||||||||
Oceaneering International, Inc. | Common and preferred stock 264 shares | 20,824 | ||||||||
Under Armor Inc. Class A | Common and preferred stock 238 shares | 20,777 | ||||||||
Buffalo Wild Wings Inc. | Common and preferred stock 141 shares | 20,755 | ||||||||
Euronet Worldwide Inc. | Common and preferred stock 428 shares | 20,480 | ||||||||
Manpower Inc. | Common and preferred stock 238 shares | 20,435 | ||||||||
Generac Holdings Inc. | Common and preferred stock 358 shares | 20,277 | ||||||||
FEI Company | Common and preferred stock 225 shares | 20,106 | ||||||||
Hanesbrands Inc. | Common and preferred stock 286 shares | 20,097 | ||||||||
Sonic Corporation | Common and preferred stock 993 shares | 20,049 | ||||||||
OpenTable Inc. | Common and preferred stock 251 shares | 19,922 | ||||||||
Cogent Comunications Group Inc. | Common and preferred stock 490 shares | 19,801 | ||||||||
Balchem Corporation | Common and preferred stock 333 shares | 19,547 | ||||||||
FMC Corporation | Common and preferred stock 252 shares | 19,016 | ||||||||
Portfolio Recovery Associates Inc. | Common and preferred stock 356 shares | 18,811 | ||||||||
A. O. Smith Corporation | Common and preferred stock 347 shares | 18,717 | ||||||||
Hexcel Corporation | Common and preferred stock 411 shares | 18,368 | ||||||||
ACI Worldwide Inc. | Common and preferred stock 281 shares | 18,265 | ||||||||
ITT Corporation | Common and preferred stock 419 shares | 18,193 | ||||||||
Transdigm Group Inc. | Common and preferred stock 112 shares | 18,034 | ||||||||
Interval Leisure Group Inc. | Common and preferred stock 582 shares | 17,984 | ||||||||
Gartner Inc. | Common and preferred stock 253 shares | 17,976 | ||||||||
Iconix Brand Group Inc. | Common and preferred stock 446 shares | 17,706 | ||||||||
TrueBlue Inc. | Common and preferred stock 654 shares | 16,860 | ||||||||
Examworks Group Inc. | Common and preferred stock 552 shares | 16,488 | ||||||||
Core Laboratories N.V. | Common and preferred stock 85 shares | 16,231 | ||||||||
Ulta Salon Cosmetics & Fragrance Inc. | Common and preferred stock 167 shares | 16,119 | ||||||||
Steven Madden Limited | Common and preferred stock 437 shares | 15,990 | ||||||||
The WhiteWave Foods Company Class A | Common and preferred stock 690 shares | 15,829 | ||||||||
Team Health Holdings, Inc. | Common and preferred stock 347 shares | 15,806 | ||||||||
On Assignment Inc. | Common and preferred stock 450 shares | 15,714 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Employers Holdings Inc. | Common and preferred stock 489 shares | 15,477 | ||||||||
The Hain Celestial Group Inc. | Common and preferred stock 170 shares | 15,433 | ||||||||
Synchronoss Technologies Inc. | Common and preferred stock 481 shares | 14,945 | ||||||||
Encore Capial Group Inc. | Common and preferred stock 295 shares | 14,827 | ||||||||
Oasis Petroleum Inc. | Common and preferred stock 306 shares | 14,373 | ||||||||
Boulder Brands, Inc. | Common and preferred stock 892 shares | 14,147 | ||||||||
TriMas Corporation | Common and preferred stock 354 shares | 14,121 | ||||||||
Pros Holdings Inc. | Common and preferred stock 352 shares | 14,045 | ||||||||
ServiceNow Inc. | Common and preferred stock 250 shares | 14,003 | ||||||||
Marketaxess Holdings, Inc. | Common and preferred stock 205 shares | 13,708 | ||||||||
WebMD Health Corporation | Common and preferred stock 347 shares | 13,707 | ||||||||
VCA Antech Inc. | Common and preferred stock 436 shares | 13,673 | ||||||||
Wex Inc. | Common and preferred stock 135 shares | 13,369 | ||||||||
IPC The Hospitalist Company, Inc. | Common and preferred stock 212 shares | 12,591 | ||||||||
Penske Automotive Group Inc. | Common and preferred stock 260 shares | 12,262 | ||||||||
Red Robin Gourmet Burgers Inc. | Common and preferred stock 166 shares | 12,208 | ||||||||
Tenneco Inc. | Common and preferred stock 215 shares | 12,163 | ||||||||
HFF Inc. | Common and preferred stock 448 shares | 12,029 | ||||||||
Kate Spade & Company | Common and preferred stock 368 shares | 11,802 | ||||||||
Toro Company | Common and preferred stock 173 shares | 11,003 | ||||||||
Dril-Quip Inc. | Common and preferred stock 95 shares | 10,443 | ||||||||
Petsmart Inc. | Common and preferred stock 140 shares | 10,185 | ||||||||
NT Collective Short Term Investment Fund* | Collective trust fund 10,054 units | 10,054 | ||||||||
Gulfport Energy Corporation | Common and preferred stock 159 shares | 10,041 | ||||||||
Trulia Inc. | Common and preferred stock 284 shares | 10,017 | ||||||||
The Advisory Board Company | Common and preferred stock 150 shares | 9,551 | ||||||||
Commvault Systems Inc. | Common and preferred stock 115 shares | 8,611 | ||||||||
Asbury Automotive Group Inc. | Common and preferred stock 153 shares | 8,222 | ||||||||
Synaptics Inc. | Common and preferred stock 156 shares | 8,082 | ||||||||
Salix Pharmaceuticals Limited | Common and preferred stock 82 shares | 7,375 | ||||||||
Medivation Inc. | Common and preferred stock 111 shares | 7,084 | ||||||||
iShares Russell Mid-Cap Growth ETF | Mutual Fund 43 shares | 3,628 | ||||||||
Total Small-Mid Cap Growth Asset Class | 3,721,435 | |||||||||
Total Small-Mid Cap Index Asset Class: | ||||||||||
NT Collective Extended Equity Market Index Fund - Non Lending* | Collective trust fund 120,200 units | 16,157,311 | ||||||||
Total Small-Mid Cap Index Asset Class | 16,157,311 | |||||||||
Small-Mid Cap Value Asset Class: | ||||||||||
NT Collective Short Term Investment Fund* | Collective trust fund 984,119 units | 984,119 | ||||||||
NT Collective Russell 2000 Value Index Fund - Non Lending* | Collective trust fund 4,241 units | 959,608 | ||||||||
Willis Group Holdings | Common and preferred stock 9,485 shares | 425,022 | ||||||||
Microsemi Corporation | Common and preferred stock 13,070 shares | 326,096 | ||||||||
Elizabeth Arden Inc. | Common and preferred stock 9,035 shares | 320,290 | ||||||||
Reinsurance Group of America Inc. | Common and preferred stock 3,980 shares | 308,091 | ||||||||
Clearwater Paper Corporation | Common and preferred stock 5,850 shares | 307,124 | ||||||||
Arris Group Inc. | Common and preferred stock 12,400 shares | 302,125 | ||||||||
Coherent Inc. | Common and preferred stock 3,925 shares | 291,980 | ||||||||
Forestar Group Inc. | Common and preferred stock 13,405 shares | 285,123 | ||||||||
NRG Energy Inc. | Common and preferred stock 9,800 shares | 281,455 | ||||||||
Teradyne Inc. | Common and preferred stock 15,840 shares | 279,100 | ||||||||
Sun Trust Banks Inc. | Common and preferred stock 7,500 shares | 276,075 | ||||||||
Orkla A/S | Common and preferred stock 34,410 shares | 271,495 | ||||||||
Great Plains Energy Inc. | Common and preferred stock 11,200 shares | 271,488 | ||||||||
Cobalt International Energy Inc. | Common and preferred stock 16,000 shares | 263,200 | ||||||||
International Rectifier Corporation | Common and preferred stock 10,050 shares | 262,004 | ||||||||
Orbital Sciences Corporation | Common and preferred stock 10,940 shares | 254,902 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Goodyear Tire & Rubber Company | Common and preferred stock 10,400 shares | 248,040 | ||||||||
LSI Corporation | Common and preferred stock 21,540 shares | 237,371 | ||||||||
ON Semiconductor Corporation | Common and preferred stock 28,600 shares | 235,664 | ||||||||
Axis Capital Holdings Limited | Common and preferred stock 4,825 shares | 229,525 | ||||||||
CNO Financial Group Inc. | Common and preferred stock 12,680 shares | 224,309 | ||||||||
Texas Capital Bancshares Inc. | Common and preferred stock 3,560 shares | 221,432 | ||||||||
Kosmos Energy Limited | Common and preferred stock 19,600 shares | 219,128 | ||||||||
Treehouse Foods Inc. | Common and preferred stock 3,145 shares | 216,753 | ||||||||
White Mountains Insurance Group Limited | Common and preferred stock 357 shares | 215,300 | ||||||||
Public Service Enterprise Group Inc. | Common and preferred stock 6,700 shares | 214,668 | ||||||||
Griffon Corporation | Common and preferred stock 16,095 shares | 212,615 | ||||||||
Valassis Communications Inc. | Common and preferred stock 6,200 shares | 212,350 | ||||||||
Molson Coors Brewing Company Class B | Common and preferred stock 3,700 shares | 207,755 | ||||||||
Regions Financial Corporation | Common and preferred stock 20,900 shares | 206,701 | ||||||||
Bruker Corporation | Common and preferred stock 10,380 shares | 205,213 | ||||||||
Kohl's Corporation | Common and preferred stock 3,600 shares | 204,300 | ||||||||
Con-Way Inc. | Common and preferred stock 5,100 shares | 202,521 | ||||||||
Humana Inc. | Common and preferred stock 1,900 shares | 196,118 | ||||||||
PPL Corporation | Common and preferred stock 6,400 shares | 192,576 | ||||||||
Western Alliance Bancorporation | Common and preferred stock 8,055 shares | 192,192 | ||||||||
BancorpSouth Inc. | Common and preferred stock 7,150 shares | 181,753 | ||||||||
PHH Corporation | Common and preferred stock 7,200 shares | 175,320 | ||||||||
Accuray Inc. | Common and preferred stock 20,070 shares | 174,810 | ||||||||
TriMas Corporation | Common and preferred stock 4,260 shares | 169,931 | ||||||||
Woodward Inc. | Common and preferred stock 3,640 shares | 166,020 | ||||||||
Unum Group | Common and preferred stock 4,700 shares | 164,876 | ||||||||
Harman International Industries, Inc. | Common and preferred stock 1,990 shares | 162,882 | ||||||||
Central Pacific Financial Corporation | Common and preferred stock 8,110 shares | 162,849 | ||||||||
Jazz Pharmaceuticals PLC | Common and preferred stock 1,280 shares | 161,997 | ||||||||
Rent-A-Center Inc. | Common and preferred stock 4,800 shares | 160,032 | ||||||||
JetBlue Airways Corporation | Common and preferred stock 18,680 shares | 159,714 | ||||||||
Euronet Worldwide Inc. | Common and preferred stock 3,285 shares | 157,187 | ||||||||
Approach Resources Inc. | Common and preferred stock 8,140 shares | 157,021 | ||||||||
Bio-Rad Laboratories, Inc. Class A | Common and preferred stock 1,265 shares | 156,367 | ||||||||
Carrizo Oil & Gas Inc. | Common and preferred stock 3,385 shares | 151,546 | ||||||||
Inter Parfums Inc. | Common and preferred stock 4,175 shares | 149,507 | ||||||||
Scorpio Tankers Inc. | Common and preferred stock 12,620 shares | 148,790 | ||||||||
PH Glatfelter Company | Common and preferred stock 5,205 shares | 143,866 | ||||||||
McDermott International Inc. | Common and preferred stock 15,400 shares | 141,064 | ||||||||
Kennedy-Wilson Holdings Inc. | Common and preferred stock 6,250 shares | 139,063 | ||||||||
Libbey Inc. | Common and preferred stock 6,530 shares | 137,130 | ||||||||
First Horizon National Corporation | Common and preferred stock 11,659 shares | 135,827 | ||||||||
Deltic Timber Corporation | Common and preferred stock 1,940 shares | 131,804 | ||||||||
Interpublic Group Companies Inc. | Common and preferred stock 7,300 shares | 129,210 | ||||||||
PartnerRe Limited | Common and preferred stock 1,225 shares | 129,152 | ||||||||
Zions Bancorp | Common and preferred stock 4,300 shares | 128,828 | ||||||||
Geo Group Inc. | Common and preferred stock 3,990 shares | 128,558 | ||||||||
Bob Evans Farms Inc. | Common and preferred stock 2,540 shares | 128,499 | ||||||||
Meadowbrook Insurance Group Inc. | Common and preferred stock 18,370 shares | 127,855 | ||||||||
Ingram Micro Inc. Class A | Common and preferred stock 5,400 shares | 126,684 | ||||||||
MKS Instruments | Common and preferred stock 4,225 shares | 126,497 | ||||||||
American Equity Investment Life Holding Company | Common and preferred stock 4,770 shares | 125,833 | ||||||||
Albany International Corporation Class A | Common and preferred stock 3,460 shares | 124,318 | ||||||||
Wesco International Inc. | Common and preferred stock 1,365 shares | 124,311 | ||||||||
Great Lakes Dredge & Dock Corporation | Common and preferred stock 13,190 shares | 121,348 | ||||||||
MDC Partners Inc. Class A | Common and preferred stock 4,735 shares | 120,790 | ||||||||
LSB Industries Inc. | Common and preferred stock 2,930 shares | 120,189 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Inverness Medical Innovations Inc. | Common and preferred stock 3,230 shares | 116,926 | ||||||||
WSFS Financial Corporation | Common and preferred stock 1,500 shares | 116,295 | ||||||||
Ultratech Inc. | Common and preferred stock 3,960 shares | 114,840 | ||||||||
Avnet Inc. | Common and preferred stock 2,600 shares | 114,686 | ||||||||
Stanley Black & Decker Inc. | Common and preferred stock 1,400 shares | 112,966 | ||||||||
CDW Corporation | Common and preferred stock 4,800 shares | 112,128 | ||||||||
Titan Machinery Inc. | Common and preferred stock 6,130 shares | 109,237 | ||||||||
Schawk, Inc. Class A | Common and preferred stock 7,215 shares | 107,287 | ||||||||
Lear Corporation | Common and preferred stock 1,300 shares | 105,261 | ||||||||
Maiden Holdings Limited | Common and preferred stock 9,630 shares | 105,256 | ||||||||
Quest Diagnostics Inc. | Common and preferred stock 1,900 shares | 101,726 | ||||||||
FBR & Co. formerly FBR Capital Markets Corporation | Common and preferred stock 3,730 shares | 98,397 | ||||||||
Ocwen Financial Corporation | Common and preferred stock 1,760 shares | 97,592 | ||||||||
Saba Software, Inc. | Common and preferred stock 7,950 shares | 97,388 | ||||||||
Nuverra Environmental Solutions Inc. | Common and preferred stock 5,689 shares | 95,518 | ||||||||
Chiquita Brands International Inc. | Common and preferred stock 8,050 shares | 94,185 | ||||||||
Nelnet Inc. Class A | Common and preferred stock 2,230 shares | 93,972 | ||||||||
Keycorp | Common and preferred stock 6,900 shares | 92,598 | ||||||||
Computer Task Group Inc. | Common and preferred stock 4,880 shares | 92,232 | ||||||||
Employers Holdings Inc. | Common and preferred stock 2,860 shares | 90,519 | ||||||||
Ciber Inc. | Common and preferred stock 21,750 shares | 90,045 | ||||||||
Louisiana-Pacific Corporation | Common and preferred stock 4,845 shares | 89,681 | ||||||||
K12 Inc. | Common and preferred stock 4,110 shares | 89,393 | ||||||||
Exar Corporation | Common and preferred stock 7,550 shares | 89,015 | ||||||||
Astronics Corporation | Common and preferred stock 1,740 shares | 88,740 | ||||||||
Northfield Bancorp Inc. | Common and preferred stock 6,550 shares | 86,460 | ||||||||
Walter Investment Managment Corporation | Common and preferred stock 2,440 shares | 86,278 | ||||||||
Felcor Lodging Trust Inc. | Common and preferred stock 10,460 shares | 85,354 | ||||||||
PrivateBancorp, Inc. | Common and preferred stock 2,895 shares | 83,752 | ||||||||
Viewpoint Financial Group Inc. | Common and preferred stock 3,040 shares | 83,448 | ||||||||
Scorpio Bulkers Inc. | Common and preferred stock 8,210 shares | 82,511 | ||||||||
United Community Bank Blairsville Georgia | Common and preferred stock 4,640 shares | 82,360 | ||||||||
EnerSys Inc | Common and preferred stock 1,170 shares | 82,005 | ||||||||
Northern Trust Corporation* | Common and preferred stock 1,300 shares | 80,457 | ||||||||
Avery Dennison Corporation | Common and preferred stock 1,580 shares | 79,300 | ||||||||
Digi International Inc. | Common and preferred stock 6,540 shares | 79,265 | ||||||||
Texas Roadhouse Inc. | Common and preferred stock 2,830 shares | 78,674 | ||||||||
Universal Corporation | Common and preferred stock 1,420 shares | 77,532 | ||||||||
Embraer SA | Common and preferred stock 2,400 shares | 77,232 | ||||||||
Tutor Perini Corporation | Common and preferred stock 2,930 shares | 77,059 | ||||||||
MYR Group Inc. | Common and preferred stock 2,960 shares | 74,237 | ||||||||
The Western Union Company | Common and preferred stock 4,300 shares | 74,175 | ||||||||
CA Inc. | Common and preferred stock 2,200 shares | 74,030 | ||||||||
Bunge Limited | Common and preferred stock 900 shares | 73,899 | ||||||||
PRGX Global Inc. | Common and preferred stock 10,900 shares | 73,248 | ||||||||
UIL Corporation | Common and preferred stock 1,890 shares | 73,238 | ||||||||
Plantronics Inc. | Common and preferred stock 1,570 shares | 72,927 | ||||||||
Marvell Technology Group Limited | Common and preferred stock 5,000 shares | 71,900 | ||||||||
Home Loan Servicing Solutions | Common and preferred stock 3,080 shares | 70,748 | ||||||||
PMC-Sierra, Inc. | Common and preferred stock 10,900 shares | 70,087 | ||||||||
Starwood Property Trust Inc. | Common and preferred stock 2,450 shares | 67,865 | ||||||||
Fidelity and Guaranty Life | Common and preferred stock 3,580 shares | 67,805 | ||||||||
Navigator Holdings Limited | Common and preferred stock 2,480 shares | 66,811 | ||||||||
Lexington Realty Trust | Common and preferred stock 6,520 shares | 66,569 | ||||||||
Mack-Cali Realty Corporation REIT | Common and preferred stock 3,080 shares | 66,158 | ||||||||
Global Power Equipment Group Inc. | Common and preferred stock 3,340 shares | 65,364 | ||||||||
Denbury Resources Inc. | Common and preferred stock 3,945 shares | 64,816 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Piedmont Natural Gas Inc. | Common and preferred stock 1,940 shares | 64,330 | ||||||||
Aegion Corporation | Common and preferred stock 2,890 shares | 63,262 | ||||||||
Stealthgas Inc. | Common and preferred stock 6,170 shares | 62,872 | ||||||||
Air Transport Services Group Inc. | Common and preferred stock 7,710 shares | 62,374 | ||||||||
Symmetry Medical, Inc. | Common and preferred stock 6,180 shares | 62,294 | ||||||||
First Midwest Bancorp Inc. | Common and preferred stock 3,540 shares | 62,056 | ||||||||
Avis Budget Group Inc. | Common and preferred stock 1,500 shares | 60,630 | ||||||||
Graftech International Limited | Common and preferred stock 5,250 shares | 58,958 | ||||||||
Winthrop Realty Trust Common Shares of Beneficial Interest | Common and preferred stock 5,310 shares | 58,676 | ||||||||
ACCO Brands Corporation | Common and preferred stock 8,650 shares | 58,128 | ||||||||
Aegean Marine Petroleum Network Inc. | Common and preferred stock 5,130 shares | 57,559 | ||||||||
Matthews International Corporation Class A | Common and preferred stock 1,330 shares | 56,671 | ||||||||
Fresh Del Monte Produce Inc. | Common and preferred stock 2,000 shares | 56,600 | ||||||||
Symantec Corporation | Common and preferred stock 2,400 shares | 56,592 | ||||||||
Validus Holding Limited | Common and preferred stock 1,400 shares | 56,406 | ||||||||
Brinks Company | Common and preferred stock 1,640 shares | 55,990 | ||||||||
FTI Consulting Inc. | Common and preferred stock 1,360 shares | 55,950 | ||||||||
H & R Block Inc. | Common and preferred stock 1,900 shares | 55,176 | ||||||||
Alleghany Corporation | Common and preferred stock 136 shares | 54,395 | ||||||||
Crocs Inc. | Common and preferred stock 3,390 shares | 53,969 | ||||||||
JetBlue Airways Corporation | Common and preferred stock 6,300 shares | 53,865 | ||||||||
Orion Marine Group, Inc. | Common and preferred stock 4,430 shares | 53,293 | ||||||||
EPL Oil & Gas, Inc. | Common and preferred stock 1,850 shares | 52,725 | ||||||||
CYS Investments Inc. | Common and preferred stock 6,770 shares | 50,166 | ||||||||
The Hanover Insurance Group Inc. | Common and preferred stock 840 shares | 50,156 | ||||||||
Cadiz, Inc. | Common and preferred stock 7,160 shares | 49,834 | ||||||||
WellCare Health Plans Inc. | Common and preferred stock 700 shares | 49,294 | ||||||||
Diodes Inc. | Common and preferred stock 2,080 shares | 49,005 | ||||||||
Big Lots Inc. | Common and preferred stock 1,500 shares | 48,435 | ||||||||
Great Plains Energy Inc. | Common and preferred stock 1,970 shares | 47,753 | ||||||||
ICF International, Inc. | Common and preferred stock 1,370 shares | 47,553 | ||||||||
KAR Auction Services Inc. | Common and preferred stock 1,550 shares | 45,803 | ||||||||
Hormel Foods Corporation | Common and preferred stock 1,010 shares | 45,622 | ||||||||
Huntington Ingalls Industries, Inc. | Common and preferred stock 500 shares | 45,005 | ||||||||
MRC Global Inc. | Common and preferred stock 1,370 shares | 44,196 | ||||||||
McDermott International Inc. | Common and preferred stock 4,810 shares | 44,060 | ||||||||
Empire District Electronic Company | Common and preferred stock 1,940 shares | 44,019 | ||||||||
American Capital Mortgage Investment Corporation | Common and preferred stock 2,500 shares | 43,650 | ||||||||
Portland General Electric Company | Common and preferred stock 1,420 shares | 42,884 | ||||||||
Comerica Inc. | Common and preferred stock 900 shares | 42,786 | ||||||||
Precision Drilling Corporation | Common and preferred stock 4,510 shares | 42,259 | ||||||||
THL Credit Inc. | Common and preferred stock 2,530 shares | 41,720 | ||||||||
Natus Medical Inc. | Common and preferred stock 1,850 shares | 41,625 | ||||||||
Western Refining Inc. | Common and preferred stock 980 shares | 41,562 | ||||||||
News Corporation Class A | Common and preferred stock 2,300 shares | 41,446 | ||||||||
Reliance Steel & Aluminum Company | Common and preferred stock 540 shares | 40,954 | ||||||||
Destination XL Group Inc. | Common and preferred stock 6,080 shares | 39,946 | ||||||||
W&T Offshore Inc. | Common and preferred stock 2,400 shares | 38,400 | ||||||||
Campus Crest Communities Inc. | Common and preferred stock 4,080 shares | 38,393 | ||||||||
Cairn Energy PLC | Common and preferred stock 4,200 shares | 37,968 | ||||||||
Aspen Insurance Holdings Limited | Common and preferred stock 900 shares | 37,179 | ||||||||
Amdocs Limited | Common and preferred stock 900 shares | 37,116 | ||||||||
Staples Inc. | Common and preferred stock 2,300 shares | 36,547 | ||||||||
Northwestern Corporation | Common and preferred stock 830 shares | 35,956 | ||||||||
Two Harbors Investment Corporation | Common and preferred stock 3,830 shares | 35,542 | ||||||||
Cloud Peak Energy Inc. | Common and preferred stock 1,910 shares | 34,380 | ||||||||
Navistar International Corporation | Common and preferred stock 900 shares | 34,371 |
Identity of Issue | Description of Investment | Current Value | ||||||||
Government Properties Income Trust | Common and preferred stock 1,360 shares | 33,796 | ||||||||
Flow International Corporation | Common and preferred stock 8,310 shares | 33,572 | ||||||||
Customers Bancorp Inc. | Common and preferred stock 1,550 shares | 31,713 | ||||||||
Middleby Corporation | Common and preferred stock 120 shares | 28,796 | ||||||||
Omniamerican Bancorp, Inc. | Common and preferred stock 1,330 shares | 28,435 | ||||||||
Medical Action Industries Inc. | Common and preferred stock 3,320 shares | 28,419 | ||||||||
Cross Country Healthcare Inc. | Common and preferred stock 2,630 shares | 26,247 | ||||||||
Bravo Brio Restaurant Group Inc. | Common and preferred stock 1,580 shares | 25,707 | ||||||||
Highwoods Properties Inc. | Common and preferred stock 710 shares | 25,681 | ||||||||
Wabash National Corporation | Common and preferred stock 1,910 shares | 23,589 | ||||||||
Ritchie Bros. Auctioneers Inc. | Common and preferred stock 980 shares | 22,471 | ||||||||
LGI Homes Inc. | Common and preferred stock 1,220 shares | 21,704 | ||||||||
NovaGold Resources Inc. | Common and preferred stock 8,470 shares | 21,514 | ||||||||
CST Brands Inc. | Common and preferred stock 580 shares | 21,298 | ||||||||
Rand Logistics Inc. | Common and preferred stock 3,690 shares | 21,291 | ||||||||
Landec Corporation | Common and preferred stock 1,710 shares | 20,725 | ||||||||
Evolution Petroleum Corporation | Common and preferred stock 1,630 shares | 20,114 | ||||||||
Aeropostale, Inc. | Common and preferred stock 2,190 shares | 19,907 | ||||||||
Triangle Petroleum Corporation | Common and preferred stock 2,380 shares | 19,802 | ||||||||
Comverse Inc. | Common and preferred stock 500 shares | 19,400 | ||||||||
Kulicke and Soffa Industries Inc. | Common and preferred stock 1,450 shares | 19,285 | ||||||||
XL Group PLC | Common and preferred stock 600 shares | 19,104 | ||||||||
The Jones Group, Inc. | Common and preferred stock 1,150 shares | 17,204 | ||||||||
GSE Holding Inc. | Common and preferred stock 8,000 shares | 16,560 | ||||||||
FreightCar America Inc. | Common and preferred stock 500 shares | 13,310 | ||||||||
Ignite Restaurant Group Inc. | Common and preferred stock 930 shares | 11,625 | ||||||||
Gramercy Property Trust Inc. | Common and preferred stock 1,010 shares | 5,808 | ||||||||
Total Small-Mid Cap Value Asset Class | 24,622,136 | |||||||||
Notes Receivable from Participants* | Interest rates 4.25% - 12.66% | 15,605,826 | ||||||||
Other | NT Collective Short Term Investment Fund* | Collective trust fund 6,848 units | 6,848 | |||||||
$ | 290,506,422 | |||||||||
* Indicates party-in-interest |
The Retirement and Savings Plan for Amgen Manufacturing, Limited (Name of Plan) | ||||||
Date: | June 11, 2014 | By: | /s/ MICHAEL A. KELLY | |||
Michael A. Kelly | ||||||
Chief Financial Officer | ||||||
Amgen Manufacturing, Limited |
Consent of Independent Registered Public Accounting Firm | Exhibit 23.1 |