Form N-Q

 

 

 

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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-Q

 

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number: 811-21269

 

 

Wells Fargo Advantage Income Opportunities Fund

(Exact name of registrant as specified in charter)

 

 

525 Market Street, 12th Floor, San Francisco, CA 94105

(Address of principal executive offices) (Zip code)

 

 

C. David Messman

Wells Fargo Funds Management, LLC

525 Market Street, 12th Floor, San Francisco, CA 94105

(Name and address of agent for service)

 

 

Registrant’s telephone number, including area code: 800-222-8222

Date of fiscal year end: April 30, 2011

Date of reporting period: January 31, 2012

 

 

 


ITEM 1. SCHEDULE OF INVESTMENTS


WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND    PORTFOLIO OF INVESTMENTS - January 31, 2012 (UNAUDITED)

 

Security Name                 Shares      Value  

Common Stocks: 0.08%

          

Consumer Discretionary : 0.00%

          

Hotels, Restaurants & Leisure: 0.00%

          

Trump Entertainment Resorts Incorporated †

          2,149       $ 8,596   
          

 

 

 

Telecommunication Services : 0.08%

          

Diversified Telecommunication Services: 0.08%

          

Fairpoint Communications Incorporated †

          134,375         546,907   
          

 

 

 

Total Common Stocks (Cost $3,109,765)

             555,503   
          

 

 

 
     Interest Rate     Maturity Date      Principal         

Convertible Debentures: 0.43%

          

Information Technology : 0.43%

          

Communications Equipment : 0.43%

          

Lucent Technologies Incorporated Series B

     2.88     06/15/2025       $ 3,225,000         2,946,844   
          

 

 

 

Total Convertible Debentures (Cost $2,307,500)

             2,946,844   
          

 

 

 

Corporate Bonds and Notes: 111.25%

          

Consumer Discretionary : 21.29%

          

Auto Components : 2.48%

          

Allison Transmission Incorporated 144A

     7.13        05/15/2019         6,075,000         6,112,969   

Armored Autogroup Incorporated 144A

     9.25        11/01/2018         800,000         668,000   

Cooper Tire & Rubber Company

     7.63        03/15/2027         4,455,000         4,232,250   

Cooper Tire & Rubber Company

     8.00        12/15/2019         150,000         156,000   

Exide Technologies

     8.63        02/01/2018         1,100,000         907,500   

Goodyear Tire & Rubber Company

     10.50        05/15/2016         4,440,000         4,861,800   
             16,938,519   
          

 

 

 

Diversified Consumer Services : 2.75%

          

Carriage Services Incorporated

     7.88        01/15/2015         4,055,000         4,085,413   

Service Corporation International

     6.75        04/01/2016         1,250,000         1,373,438   

Service Corporation International

     7.00        05/15/2019         1,125,000         1,215,000   

Service Corporation International

     7.50        04/01/2027         9,376,000         9,200,200   

Service Corporation International

     8.00        11/15/2021         880,000         1,012,000   

Service Corporation International Series WI

     7.00        06/15/2017         1,650,000         1,831,500   
             18,717,551   
          

 

 

 

Hotels, Restaurants & Leisure : 5.92%

          

Ameristar Casinos Incorporated

     7.50        04/15/2021         4,477,000         4,768,005   

Burger King Corporation

     9.88        10/15/2018         1,600,000         1,760,000   

Chukchansi Economic Development Authority 144A(s)

     4.16        11/15/2012         2,525,000         1,666,500   

CityCenter Holdings LLC

     7.63        01/15/2016         350,000         367,500   

CityCenter Holdings LLC ¥

     11.50        01/15/2017         2,232,558         2,383,256   

Dineequity Incorporated

     9.50        10/30/2018         7,150,000         7,793,500   

Greektown Superholdings Incorporated Series A

     13.00        07/01/2015         6,662,000         7,128,340   

Greektown Superholdings Incorporated Series B

     13.00        07/01/2015         1,625,000         1,738,750   

NAI Entertainment Holdings LLC 144A

     8.25        12/15/2017         2,700,000         2,949,750   

Pinnacle Entertainment Incorporated

     7.50        06/15/2015         2,880,000         2,937,600   

Scientific Games Corporation

     9.25        06/15/2019         1,130,000         1,231,700   

Speedway Motorsports Incorporated

     6.75        02/01/2019         450,000         463,500   

 

1


PORTFOLIO OF INVESTMENTS — January 31, 2012 (UNAUDITED)    WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Hotels, Restaurants & Leisure (continued)

          

Speedway Motorsports Incorporated

     8.75     06/01/2016       $ 2,075,000       $ 2,261,750   

Yonkers Racing Corporation 144A

     11.38        07/15/2016         2,750,000         2,935,625   
             40,385,776   
          

 

 

 

Household Durables: 0.14%

          

American Greetings

     7.38        12/01/2021         950,000         960,688   
          

 

 

 

Media : 8.02%

          

Cablevision Systems Corporation

     8.63        09/15/2017         2,975,000         3,317,125   

CCH II Capital Corporation

     13.50        11/30/2016         12,981,015         14,960,620   

CCO Holdings LLC

     8.13        04/30/2020         746,000         825,263   

Cinemark USA Incorporated

     7.38        06/15/2021         1,525,000         1,605,063   

Cinemark USA Incorporated

     8.63        06/15/2019         1,100,000         1,210,000   

CSC Holdings LLC

     7.88        02/15/2018         1,400,000         1,564,500   

CSC Holdings LLC

     8.50        04/15/2014         200,000         222,500   

DISH DBS Corporation

     7.88        09/01/2019         2,260,000         2,604,650   

EchoStar DBS Corporation

     7.75        05/31/2015         650,000         724,750   

Gray Television Incorporated

     10.50        06/29/2015         5,225,000         5,420,938   

Lamar Media Corporation 144A

     5.88        02/01/2022         500,000         500,625   

Lamar Media Corporation

     7.88        04/15/2018         1,500,000         1,638,750   

Lamar Media Corporation Series C

     9.75        04/01/2014         925,000         1,049,875   

LIN Television Corporation

     8.38        04/15/2018         2,225,000         2,258,375   

Local TV Finance LLC 144A¥

     9.25        06/15/2015         5,450,000         5,395,500   

Regal Cinemas Corporation

     8.63        07/15/2019         4,575,000         5,021,063   

Regal Entertainment Group

     9.13        08/15/2018         675,000         739,125   

Salem Communications Corporation

     9.63        12/15/2016         4,941,000         5,348,633   

Sirius XM Radio Incorporated 144A

     9.75        09/01/2015         250,000         271,875   
             54,679,230   
          

 

 

 

Specialty Retail : 1.36%

          

Gap Incorporated

     5.95        04/12/2021         1,175,000         1,128,006   

Limited Brands Incorporated

     6.63        04/01/2021         925,000         1,017,500   

RadioShack Corporation

     6.75        05/15/2019         2,675,000         2,247,000   

Rent A Center Incorporated

     6.63        11/15/2020         700,000         722,750   

Toys R Us Property Company LLC

     8.50        12/01/2017         3,900,000         4,177,875   
             9,293,131   
          

 

 

 

Textiles, Apparel & Luxury Goods: 0.62%

          

Oxford Industrial Incorporated

     11.38        07/15/2015         3,850,000         4,220,563   
          

 

 

 

Consumer Staples : 1.43%

          

Beverages: 0.04%

          

Cott Beverages Incorporated

     8.38        11/15/2017         250,000         272,500   
          

 

 

 

Food Products : 1.39%

          

B&G Foods Incorporated

     7.63        01/15/2018         405,000         435,881   

Darling International Incorporated

     8.50        12/15/2018         250,000         280,000   

Dole Food Company Incorporated

     13.88        03/15/2014         3,075,000         3,540,094   

Smithfield Foods Incorporated

     10.00        07/15/2014         4,465,000         5,246,375   
             9,502,350   
          

 

 

 

Energy : 16.71.07%

          

Energy Equipment & Services : 4.22%

          

Bristow Group Incorporated

     7.50        09/15/2017         3,210,000         3,338,400   

Dresser Rand Group Incorporated 144A

     6.50        05/01/2021         1,825,000         1,884,313   

 

2


WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND    PORTFOLIO OF INVESTMENTS - January 31, 2012 (UNAUDITED)

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Energy Equipment & Services (continued)

          

Gulfmark Offshore Incorporated

     7.75     07/15/2014       $ 3,395,000       $ 3,411,975   

Hornbeck Offshore Services Incorporated Series B

     6.13        12/01/2014         5,325,000         5,331,656   

Hornbeck Offshore Services Incorporated Series B

     8.00        09/01/2017         4,920,000         5,178,300   

Oil States International Incorporated

     6.50        06/01/2019         2,954,000         3,138,625   

Parker Drilling Company

     9.13        04/01/2018         860,000         911,600   

PHI Incorporated

     8.63        10/15/2018         5,225,000         5,277,250   

Pride International Incorporated

     8.50        06/15/2019         210,000         268,269   
             28,740,388   
          

 

 

 

Oil, Gas & Consumable Fuels : 12.49%

          

Amerigas Partner Financial Corporation

     6.25        08/20/2019         325,000         323,375   

Chesapeake Energy Corporation

     9.50        02/15/2015         5,085,000         5,720,625   

Cloud Peak Energy Resources LLC

     8.25        12/15/2017         200,000         216,000   

Cloud Peak Energy Resources LLC

     8.50        12/15/2019         250,000         273,125   

Coffeyville Resources Incorporated 144A

     9.00        04/01/2015         1,947,000         2,083,290   

Consol Energy Incorporated

     8.25        04/01/2020         2,665,000         2,888,194   

Crestwood Midstream Partners LP 144A

     7.75        04/01/2019         1,350,000         1,360,125   

Denbury Resources Incorporated

     6.38        08/15/2021         700,000         757,750   

Denbury Resources Incorporated

     8.25        02/15/2020         850,000         966,875   

El Paso Corporation

     6.50        09/15/2020         1,155,000         1,262,830   

El Paso Corporation

     7.00        06/15/2017         875,000         969,287   

El Paso Corporation

     7.25        06/01/2018         3,224,000         3,594,002   

El Paso Corporation

     7.42        02/15/2037         1,820,000         2,011,593   

El Paso Corporation

     7.80        08/01/2031         3,050,000         3,575,442   

Encore Acquisition Company

     9.50        05/01/2016         700,000         784,875   

Energy Transfer Equity LP

     7.50        10/15/2020         5,950,000         6,574,750   

Ferrellgas Finance Corporation

     9.13        10/01/2017         4,660,000         4,893,000   

Forest Oil Corporation

     7.25        06/15/2019         2,520,000         2,520,000   

Forest Oil Corporation

     8.50        02/15/2014         1,115,000         1,215,350   

Griffin Coal Mining Company Limited (s)

     9.50        12/01/2016         652,804         511,635   

Holly Corporation

     9.88        06/15/2017         4,265,000         4,755,475   

Inergy LP

     6.88        08/01/2021         824,000         786,920   

Inergy LP

     7.00        10/01/2018         950,000         923,875   

Newfield Exploration Company

     6.88        02/01/2020         1,185,000         1,267,950   

Penn Virginia Corporation

     10.38        06/15/2016         215,000         216,075   

Petrohawk Energy Corporation

     7.88        06/01/2015         2,045,000         2,167,700   

Petrohawk Energy Corporation

     10.50        08/01/2014         1,065,000         1,183,481   

Pioneer Natural Resource Company

     7.50        01/15/2020         3,170,000         3,812,762   

Plains Exploration & Production Company

     8.63        10/15/2019         6,380,000         7,177,500   

Regency Energy Partners

     6.88        12/01/2018         475,000         515,375   

Sabine Pass LNG LP

     7.25        11/30/2013         4,940,000         5,112,900   

Sabine Pass LNG LP

     7.50        11/30/2016         7,050,000         7,349,625   

Ship Finance International Limited

     8.50        12/15/2013         2,250,000         2,154,375   

Suburban Propane Partners LP

     7.38        03/15/2020         575,000         603,750   

Susser Holdings LLC

     8.50        05/15/2016         2,000,000         2,170,000   

Tesoro Corporation

     9.75        06/01/2019         2,185,000         2,474,513   
             85,174,399   
          

 

 

 

Financials : 24.93%

          

Capital Markets : 2.02%

          

E*TRADE Financial Corporation

     12.50        11/30/2017         9,741,000         11,275,208   

Oppenheimer Holdings Incorporated

     8.75        04/15/2018         2,500,000         2,503,125   
             13,778,333   
          

 

 

 

Commercial Banks : 2.96%

          

CIT Group Incorporated 144A

     5.25        04/01/2014         7,275,000         7,402,313   

CIT Group Incorporated 144A

     7.00        05/04/2015         1,575,000         1,582,875   

CIT Group Incorporated

     7.00        05/01/2016         2,615,111         2,615,111   

 

3


PORTFOLIO OF INVESTMENTS — January 31, 2012 (UNAUDITED)    WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Commercial Banks (continued)

          

CIT Group Incorporated

     7.00     05/01/2017       $ 3,375,000       $ 3,379,219   

Emigrant Bancorp Incorporated 144A(i)

     6.25        06/15/2014         5,725,000         5,166,698   
             20,146,216   
          

 

 

 

Consumer Finance : 11.82%

          

American General Finance Corporation

     5.40        12/01/2015         2,800,000         2,222,500   

American General Finance Corporation

     5.75        09/15/2016         2,325,000         1,749,563   

American General Finance Corporation

     6.50        09/15/2017         550,000         398,750   

Calpine Construction Finance Corporation 144A

     8.00        06/01/2016         2,700,000         2,909,250   

Clearwire Communications Finance Corporation 144A

     12.00        12/01/2015         2,280,000         2,148,900   

Clearwire Communications Finance Corporation 144A

     12.00        12/01/2015         3,140,000         2,959,450   

Ford Motor Credit Company LLC

     7.00        10/01/2013         500,000         534,966   

Ford Motor Credit Company LLC

     8.00        12/15/2016         200,000         236,812   

General Motors Financial Company 144A

     6.75        06/01/2018         1,850,000         1,924,000   

GMAC LLC

     6.75        12/01/2014         2,344,000         2,443,620   

GMAC LLC

     6.88        08/28/2012         2,862,000         2,904,930   

GMAC LLC

     7.50        12/31/2013         6,855,000         7,214,888   

Homer City Funding LLC

     8.73        10/01/2026         2,881,936         2,622,562   

International Lease Finance Corporation

     6.38        03/25/2013         865,000         876,894   

International Lease Finance Corporation 144A

     6.75        09/01/2016         300,000         322,875   

International Lease Finance Corporation

     8.63        09/15/2015         1,700,000         1,833,875   

JBS USA Finance Incorporated

     11.63        05/01/2014         8,465,000         9,724,169   

Level 3 Financing Incorporated

     10.00        02/01/2018         4,555,000         4,862,463   

Nielsen Finance LLC Company

     11.50        05/01/2016         1,170,000         1,342,575   

Nielson Finance LLC Company

     7.75        10/15/2018         10,570,000         11,772,338   

Springleaf Finance Corporation

     6.90        12/15/2017         5,950,000         4,611,250   

Sprint Capital Corporation

     6.88        11/15/2028         13,075,000         9,691,844   

Sprint Capital Corporation

     8.75        03/15/2032         6,270,000         5,266,800   
             80,575,274   
          

 

 

 

Diversified Financial Services : 5.43%

          

Ally Financial Incorporated

     8.30        02/12/2015         8,820,000         9,729,518   

Dolphin Subsidiary II Incorporated 144A

     7.25        10/15/2021         4,225,000         4,700,313   

Hub International Holdings Incorporated 144A

     10.25        06/15/2015         6,650,000         6,724,813   

Nuveen Investments Incorporated

     5.50        09/15/2015         5,800,000         5,249,000   

Nuveen Investments Incorporated

     10.50        11/15/2015         4,445,000         4,633,913   

Nuveen Investments Incorporated 144A

     10.50        11/15/2015         4,825,000         4,981,813   

USI Holdings Corporation 144A

     9.75        05/15/2015         1,055,000         1,033,900   
             37,053,270   
          

 

 

 

REITs : 2.70%

          

Dupont Fabros Technology Incorporated

     8.50        12/15/2017         11,580,000         12,709,050   

Host Hotels & Resorts LP

     9.00        05/15/2017         490,000         543,900   

Omega Healthcare Investors Incorporated

     6.75        10/15/2022         3,375,000         3,577,500   

Ventas Incorporated

     9.00        05/01/2012         1,560,000         1,582,575   
             18,413,025   
          

 

 

 

Health Care : 4.59%

          

Health Care Equipment & Supplies : 0.88%

          

Biomet Incorporated ¥

     10.38        10/15/2017         1,215,000         1,318,275   

Biomet Incorporated

     11.63        10/15/2017         3,485,000         3,789,938   

Fresenius Medical Care Incorporated

     6.88        07/15/2017         700,000         753,375   
             5,861,588   
          

 

 

 

 

 

4


WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND    PORTFOLIO OF INVESTMENTS - January 31, 2012 (UNAUDITED)

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Health Care Providers & Services : 3.48%

          

Apria Healthcare Group Incorporated

     11.25     11/01/2014       $ 1,340,000       $ 1,398,625   

Aviv Healthcare Incorporated

     7.75        02/15/2019         3,725,000         3,734,313   

Centene Corporation

     5.75        06/01/2017         1,925,000         1,963,500   

Community Health Systems Incorporated Series WI

     8.88        07/15/2015         765,000         795,600   

Emergency Medical Services Corporation

     8.13        06/01/2019         800,000         816,000   

HCA Incorporated

     6.50        02/15/2020         3,675,000         3,895,500   

HCA Incorporated

     7.50        02/15/2022         700,000         749,000   

HCA Incorporated

     8.50        04/15/2019         375,000         416,250   

Health Management Associates

     6.13        04/15/2016         475,000         490,438   

Health Management Associates 144A

     7.38        01/15/2020         475,000         489,250   

HealthSouth Corporation

     7.25        10/01/2018         750,000         774,375   

HealthSouth Corporation

     7.75        09/15/2022         750,000         781,875   

MPT Operating Partnership LP

     6.88        05/01/2021         3,175,000         3,294,063   

Sabra Health Care LP

     8.13        11/01/2018         2,850,000         2,999,625   

United Surgical Partners International Incorporated

     8.88        05/01/2017         1,050,000         1,099,875   
             23,698,289   
          

 

 

 

Pharmaceuticals : 0.25%

          

Mylan Incorporated 144A

     6.00        11/15/2018         650,000         671,125   

Mylan Incorporated 144A

     7.63        07/15/2017         650,000         714,188   

Mylan Incorporated 144A

     7.88        07/15/2020         300,000         333,000   
             1,718,313   
          

 

 

 

Industrials : 7.94%

          

Aerospace & Defense : 1.55%

          

Alliant Techsystems Incorporated

     6.75        04/01/2016         4,470,000         4,592,925   

GeoEye Incorporated

     9.63        10/01/2015         1,140,000         1,265,400   

Hexcel Corporation

     6.75        02/01/2015         1,089,000         1,098,529   

L-3 Communications Holdings Incorporated

     6.38        10/15/2015         2,740,000         2,808,500   

Transdigm Incorporated

     7.75        12/15/2018         750,000         821,250   
             10,586,604   
          

 

 

 

Commercial Services & Supplies : 2.72%

          

Casella Waste Systems Incorporated

     11.00        07/15/2014         4,385,000         4,779,650   

Corrections Corporation of America

     7.75        06/01/2017         2,110,000         2,290,669   

Crown Cork & Seal Company Incorporated

     7.50        12/15/2096         1,225,000         1,053,500   

Geo Group Incorporated

     7.75        10/15/2017         2,955,000         3,161,850   

Interface Incorporated

     7.63        12/01/2018         300,000         323,250   

Iron Mountain Incorporated

     8.38        08/15/2021         3,520,000         3,845,600   

KAR Holdings Incorporated ±

     4.43        05/01/2014         2,225,000         2,216,656   

Mac-Gray Corporation

     7.63        08/15/2015         850,000         871,250   
             18,542,425   
          

 

 

 

Machinery : 1.04%

          

Cleaver-Brooks Incorporated 144A

     12.25        05/01/2016         1,440,000         1,454,400   

Columbus McKinnon Corporation

     7.88        02/01/2019         1,575,000         1,622,250   

CPM Holdings Incorporated

     10.63        09/01/2014         3,025,000         3,244,313   

Titan International Incorporated

     7.88        10/01/2017         700,000         739,375   
             7,060,338   
          

 

 

 

Professional Services : 0.80%

          

Affinia Group Incorporated 144A

     10.75        08/15/2016         207,000         227,700   

Interactive Data Corporation

     10.25        08/01/2018         2,535,000         2,807,513   

 

5


PORTFOLIO OF INVESTMENTS — January 31, 2012 (UNAUDITED)    WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Professional Services (continued)

          

NCO Group Incorporated

     11.88     11/15/2014       $ 2,450,000       $ 2,413,250   
             5,448,463   
          

 

 

 

Road & Rail : 1.68%

          

Kansas City Southern

     8.00        06/01/2015         8,285,000         8,782,100   

RailAmerica Incorporated

     9.25        07/01/2017         2,428,000         2,701,150   
             11,483,250   
          

 

 

 

Transportation Infrastructure: 0.15%

          

Overseas Shipholding Group

     7.50        02/15/2024         1,725,000         1,047,938   
          

 

 

 

Information Technology : 9.53%

          

Communications Equipment : 1.54%

          

Allbritton Communications Company

     8.00        05/15/2018         2,574,000         2,657,655   

EchoStar DBS Corporation

     7.13        02/01/2016         910,000         998,725   

Intelsat Jackson Holdings Limited

     9.50        06/15/2016         2,225,000         2,336,250   

Lucent Technologies Incorporated

     6.45        03/15/2029         3,100,000         2,340,500   

Seagate Technology Holdings

     6.80        10/01/2016         1,275,000         1,392,938   

Seagate Technology Holdings 144A

     7.00        11/01/2021         725,000         775,750   
             10,501,818   
          

 

 

 

Computers & Peripherals : 0.51%

          

Seagate HDD Cayman

     6.88        05/01/2020         650,000         695,500   

Seagate HDD Cayman

     7.75        12/15/2018         2,500,000         2,768,750   
             3,464,250   
          

 

 

 

Electronic Equipment, Instruments & Components : 2.96%

          

CDW Financial Corporation

     12.54        10/12/2017         1,600,000         1,732,000   

Jabil Circuit Incorporated

     8.25        03/15/2018         13,532,000         15,764,780   

Viasystem Group Incorporated 144A

     12.00        01/15/2015         2,530,000         2,707,100   
             20,203,880   
          

 

 

 

Internet Software & Services : 0.37%

          

Equinix Incorporated

     7.00        07/15/2021         125,000         135,625   

Equinix Incorporated

     8.13        03/01/2018         2,125,000         2,358,750   
             2,494,375   
          

 

 

 

IT Services : 4.15%

          

Audatex North American Incorporated 144A

     6.75        06/15/2018         475,000         483,313   

Fidelity National Information Services 144A

     7.63        07/15/2017         325,000         354,250   

Fidelity National Information Services

     7.63        07/15/2017         550,000         602,250   

Fidelity National Information Services

     7.88        07/15/2020         2,450,000         2,756,250   

First Data Corporation 144A

     7.38        06/15/2019         1,325,000         1,321,688   

First Data Corporation

     11.25        03/31/2016         10,125,000         8,783,438   

SunGard Data Systems Incorporated

     7.38        11/15/2018         1,100,000         1,160,500   

SunGard Data Systems Incorporated

     7.63        11/15/2020         550,000         584,375   

SunGard Data Systems Incorporated

     10.25        08/15/2015         7,439,750         7,700,141   

TW Telecommunications Holdings Incorporated

     8.00        03/01/2018         1,272,000         1,376,940   

Unisys Corporation

     12.50        01/15/2016         1,065,000         1,136,888   

Unisys Corporation 144A

     12.75        10/15/2014         1,068,000         1,204,170   

Unisys Corporation 144A

     14.25        09/15/2015         751,000         850,508   
             28,314,711   
          

 

 

 

 

 

6


WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND    PORTFOLIO OF INVESTMENTS - January 31, 2012 (UNAUDITED)

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Materials : 3.42%

          

Chemicals : 1.07%

          

Huntsman International LLC

     5.50     06/30/2016       $ 2,855,000       $ 2,826,450   

Lyondell Chemical Company

     11.00        05/01/2018         2,399,231         2,627,158   

Solutia Incorporated

     7.88        03/15/2020         1,450,000         1,703,750   

Solutia Incorporated

     8.75        11/01/2017         150,000         169,875   
             7,327,233   
          

 

 

 

Containers & Packaging : 0.77%

          

Crown Americas LLC

     7.63        05/15/2017         950,000         1,045,000   

Graham Packaging Company Incorporated

     9.88        10/15/2014         3,550,000         3,621,000   

Owens Brockway Glass Container Incorporated

     7.38        05/15/2016         515,000         576,800   
             5,242,800   
          

 

 

 

Metals & Mining : 0.89%

          

Freeport-McMoRan Copper & Gold Incorporated

     8.38        04/01/2017         5,725,000         6,039,875   

Indalex Holdings Corporation (s)

     11.50        02/01/2014         5,985,000         22,444   
             6,062,319   
          

 

 

 

Paper & Forest Products : 0.69%

          

Clearwater Paper Corporation

     10.63        06/15/2016         1,175,000         1,316,000   

Georgia-Pacific Corporation

     8.88        05/15/2031         2,430,000         3,375,982   
             4,691,982   
          

 

 

 

Telecommunication Services : 13.37%

          

Diversified Telecommunication Services : 6.77%

          

Avaya Incorporated

     9.75        11/01/2015         2,300,000         2,202,250   

Citizens Communications Company

     7.88        01/15/2027         4,205,000         3,605,788   

FairPoint Communications Incorporated 144A

     10.88        04/01/2017         2,550,000         2,856,000   

Frontier Communications Corporation

     8.13        10/01/2018         1,980,000         1,975,050   

Frontier Communications Corporation

     8.25        04/15/2017         2,380,000         2,397,850   

Frontier Communications Corporation

     8.50        04/15/2020         1,000,000         990,000   

GCI Incorporated

     6.75        06/01/2021         1,350,000         1,356,750   

GCI Incorporated

     8.63        11/15/2019         4,175,000         4,498,563   

Intelsat Jackson Holdings Company

     7.25        10/15/2020         1,700,000         1,774,375   

Qwest Corporation

     7.50        06/15/2023         3,260,000         3,260,000   

Qwest Corporation

     7.63        08/03/2021         440,000         451,371   

SBA Telecommunications Incorporated

     8.00        08/15/2016         1,090,000         1,179,925   

SBA Telecommunications Incorporated

     8.25        08/15/2019         485,000         528,650   

Syniverse Holdings Incorporated

     9.13        01/15/2019         7,775,000         8,377,563   

U.S. West Communications Incorporated

     7.13        11/15/2043         1,810,000         1,778,325   

U.S. West Communications Incorporated

     7.25        09/15/2025         2,755,000         2,967,006   

Windstream Corporation

     7.88        11/01/2017         5,380,000         5,944,900   
             46,144,366   
          

 

 

 

Wireless Telecommunication Services : 6.60%

          

CC Holdings LLC 144A

     7.75        05/01/2017         650,000         706,063   

Cricket Communications Incorporated

     7.75        05/15/2016         3,355,000         3,556,300   

Cricket Communications Incorporated

     7.75        10/15/2020         3,200,000         3,048,000   

Crown Castle International Corporation

     7.13        11/01/2019         165,000         179,438   

Crown Castle International Corporation

     9.00        01/15/2015         650,000         708,500   

Intelsat Limited 144A

     7.25        04/01/2019         3,025,000         3,161,125   

Intelsat Limited 144A

     7.50        04/01/2021         2,214,000         2,324,700   

Intelsat Limited

     11.25        06/15/2016         7,090,000         7,515,400   

iPCS Incorporated ¥

     3.68        05/01/2014         2,607,559         2,385,916   

MetroPCS Communications Incorporated

     6.63        11/15/2020         6,175,000         6,128,688   

 

7


PORTFOLIO OF INVESTMENTS — January 31, 2012 (UNAUDITED)    WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Wireless Telecommunication Services (continued)

          

MetroPCS Communications Incorporated

     7.88     09/01/2018       $ 1,050,000       $ 1,107,750   

Sprint Nextel Corporation 144A

     9.00        11/15/2018         750,000         808,125   

Sprint Nextel Corporation 144A

     11.50        11/15/2021         1,200,000         1,242,000   

Sprint Nextel Corporation Series D

     7.38        08/01/2015         6,360,000         6,153,300   

Sprint Nextel Corporation Series F

     5.95        03/15/2014         6,065,000         6,004,350   
             45,029,655   
          

 

 

 

Utilities : 8.04%

          

Electric Utilities : 4.33%

          

Aquila Incorporated Step Bond

     11.88        07/01/2012         14,996,000         15,635,055   

Energy Future Holdings Corporation

     10.00        12/01/2020         150,000         161,625   

Ipalco Enterprises Incorporated

     5.00        05/01/2018         1,750,000         1,725,938   

Mirant Mid-Atlantic LLC Series C

     10.06        12/30/2028         7,560,525         7,711,735   

Otter Tail Corporation

     9.00        12/15/2016         3,985,000         4,263,950   
             29,498,303   
          

 

 

 

Gas Utilities : 0.22%

          

AmeriGas Finance LLC

     6.75        05/20/2020         225,000         225,000   

AmeriGas Finance LLC

     7.00        05/20/2022         225,000         225,563   

AmeriGas Partners LP

     6.50        05/20/2021         1,050,000         1,042,125   
             1,492,688   
          

 

 

 

Independent Power Producers & Energy Traders : 3.49%

          

Calpine Corporation 144A

     7.25        10/15/2017         9,469,000         9,895,105   

NRG Energy Incorporated

     7.38        01/15/2017         6,050,000         6,254,188   

NRG Energy Incorporated

     8.50        06/15/2019         3,675,000         3,693,375   

RRI Energy Incorporated

     7.63        06/15/2014         1,020,000         1,020,000   

RRI Energy Incorporated

     9.24        07/02/2017         2,287,916         2,196,399   

RRI Energy Incorporated

     9.68        07/02/2026         780,000         733,200   
             23,792,267   
          

 

 

 

Total Corporate Bonds and Notes (Cost $731,742,681)

             758,559,068   
          

 

 

 
     Dividend Yield            Shares         

Preferred Stocks: 0.17%

          

Financials : 0.17%

          

Consumer Finance: 0.17%

          

GMAC Capital Trust

     8.125           53,000         1,176,070   
          

 

 

 

Total Preferred Stocks (Cost $1,325,000)

             1,176,070   
          

 

 

 
     Interest Rate     Maturity Date      Principal         

Term Loans: 11.81%

          

Advantage Sales & Marketing Incorporated

     9.25        06/18/2018       $ 900,000         884,250   

Capital Automotive LP

     5.00        03/10/2017         7,286,051         7,235,996   

CCM Merger Incorporated

     7.00        03/01/2017         8,397,018         8,331,941   

Coinmach Corporation

     3.41        11/20/2014         6,589,648         6,015,426   

Fairpoint Communications Incorporated

     6.50        01/22/2016         6,788,901         5,710,484   

Federal Mogul Corporation <

     2.22        12/28/2015         1,038,700         990,878   

Federal Mogul Corporation <

     2.23        12/29/2014         1,261,928         1,203,829   

First Data Corporation B1

     3.03        09/24/2014         2,867,975         2,719,787   

First Data Corporation B2

     3.03        09/24/2014         5,354,373         5,077,712   

First Data Corporation B3

     3.03        09/24/2014         1,485,523         1,408,766   

 

8


WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND    PORTFOLIO OF INVESTMENTS - January 31, 2012 (UNAUDITED)

 

Security Name    Interest Rate     Maturity Date      Principal      Value  

Term Loans (continued)

          

Gray Television Incorporated

     3.80     12/31/2014       $ 1,800,564       $ 1,773,555   

HHI Holdings Limited

     7.00        03/21/2017         2,233,125         2,216,377   

Level 3 Financing Incorporated

     2.75        03/13/2014         1,300,000         1,263,028   

Local TV Finance LLC

     2.28        05/07/2013         2,720,910         2,680,096   

Merisant Company

     7.50        01/08/2014         1,429,623         1,408,179   

NCO Group Incorporated

     8.00        11/15/2013         2,425,222         2,405,529   

Newsday LLC

     10.50        08/01/2013         5,920,000         6,090,200   

Panolam Industries International

     8.25        12/31/2013         428,747         403,738   

Springleaf Finance Corporation

     5.50        05/05/2017         1,350,000         1,253,813   

Texas Competitive Electric Holdings

     3.80        10/10/2014         29,662,911         20,074,375   

Texas Competitive Electric Holdings

     4.80        10/10/2017         675,000         415,969   

Wash Multifamily Laundry Systems LLC

     7.00        08/28/2014         989,770         980,496   

Total Term Loans (Cost $86,021,163)

             80,544,424   
          

 

 

 

Yankee Corporate Bonds and Notes: 2.42%

          

Consumer Discretionary : 0.27%

          

Media : 0.27%

          

Videotron Limited

     6.38        12/15/2015         100,000         102,125   

Videotron Limited

     9.13        04/15/2018         1,525,000         1,692,750   
             1,794,875   
          

 

 

 

Energy : 0.55%

          

Oil, Gas & Consumable Fuels: 0.55%

          

Griffin Coal Mining Company Limited 144A(s)

     9.50        12/01/2016         4,769,384         3,738,005   
          

 

 

 

Diversified Financial Services: 0.00%

          

Preferred Term Securities XII Limited ±(s)(i)

     1.97        12/24/2033         1,540,000         462   
          

 

 

 

Materials : 1.03%

          

Metals & Mining : 0.67%

          

Novelis Incorporated

     7.25        02/15/2015         630,000         627,877   

Novelis Incorporated

     8.38        12/15/2017         1,100,000         1,207,250   

Novelis Incorporated

     8.75        12/15/2020         2,425,000         2,709,938   
             4,545,065   
          

 

 

 

Paper & Forest Products : 0.36%

          

PE Paper Escrow 144A

     12.00        08/01/2014         715,000         775,775   

Sappi Limited 144A

     7.50        06/15/2032         2,155,000         1,702,450   
             2,478,225   
          

 

 

 

Telecommunication Services : 0.57%

          

Wireless Telecommunication Services : 0.57%

          

Digicel Group Limited 144A

     12.00        04/01/2014         870,000         980,925   

Telesat Canada Incorporated

     11.00        11/01/2015         690,000         738,271   

Wind Acquisition Finance SA 144A

     11.75        07/15/2017         2,205,000         2,182,950   
             3,902,146   
          

 

 

 

Total Yankee Corporate Bonds and Notes (Cost $15,697,120)

             16,458,778   
          

 

 

 

 

 

9


PORTFOLIO OF INVESTMENTS — January 31, 2012 (UNAUDITED)    WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND

 

Security Name          Yield     Shares      Value  

Short-Term Investments: 7.14%

         

Investment Companies : 7.14%

         

Wells Fargo Advantage Cash Investment Money Market Fund, Institutional Class ##(l)(u)

       0.02     48,700,700       $ 48,700,700   
         

 

 

 

Total Short-Term Investments (Cost $48,700,700)

            48,700,700   
         

 

 

 

Total Investments in Securities
(Cost $888,903,929)*

     133.30          908,941,387   

Other Assets and Liabilities, Net

     (33.30          (227,050,506
  

 

 

        

 

 

 

Total Net Assets

     100.00        $ 681,890,881   
  

 

 

        

 

 

 

 

Non-income earning security.
144A Security that may be resold to “qualified institutional buyers” under Rule 144A or security offered pursuant to Section 4(2) of the Securities Act of 1933, as amended.
¥ A payment-in-kind (PIK) security is a security in which the issuer may make interest or dividend payments in cash or additional securities. These additional securities generally have the same terms as the original holdings.
± Variable rate investment.
(s) Security is currently in default with regards to scheduled interest and/or principal payments. The Fund has stopped accruing interest on this security.
(i) Illiquid security.
± Variable rate investment.
< All or a portion of the position represents an unfunded loan commitment.
## All or a portion of this security has been segregated for when-issued securities or unfunded loans.
(l) Investment in an affiliate.
(u) Rate shown is the 7-day annualized yield at period end.
* Cost for federal income tax purposes is $884,728,517 and net unrealized appreciation (depreciation) consists of:

 

Gross unrealized appreciation

   $ 45,919,490   

Gross unrealized depreciation

     (21,706,620
  

 

 

 

Net unrealized appreciation

   $ 24,212,870   

 

10


WELLS FARGO ADVANTAGE INCOME OPPORTUNITIES FUND

NOTES TO PORTFOLIO OF INVESTMENTS – JANUARY 31, 2012 (UNAUDITED)

 

The following notes are to be read in conjunction with the Portfolio of Investments for Wells Fargo Advantage Income Opportunities Fund (the “Fund”).

Securities valuation

Investments in equity securities are valued each business day as of the close of regular trading on the New York Stock Exchange, which is usually 4:00 p.m. (Eastern Time). Securities which are traded on a national or foreign securities exchange are valued at the last reported sales price, except that securities listed on The Nasdaq Stock Market, Inc. (“Nasdaq”) are valued at the Nasdaq Official Closing Price (“NOCP”), and if no NOCP is available, then at the last reported sales price. If no sales price is shown on the Nasdaq, the bid price will be used. In the absence of any sale of securities listed on the Nasdaq, and in the case of other securities (including U.S. Government obligations, but excluding debt securities maturing in 60 days or less), the price will be deemed “stale” and the valuations will be determined in accordance with the Fund’s Fair Value Procedures.

Fixed income securities with maturities exceeding 60 days are valued based on evaluated prices received from an independent pricing service approved by the Board of Trustees which may utilize both transaction data and market information such as yield, prices of securities of comparable quality, coupon rate, maturity, type of issue, trading characteristics and other market data. If valuations are not available from the pricing service or values received are deemed not representative of market value, values will be obtained from a third party broker-dealer or determined based on the Fund’s Fair Value Procedures.

Debt securities of sufficient credit quality with original maturities of 60 days or less generally are valued at amortized cost which approximates fair value. The amortized cost method involves valuing a security at its cost, plus accretion of discount or minus amortization of premium over the period until maturity.

Investments in open-end mutual funds and non-registered investment companies are generally valued at net asset value.

Investments which are not valued using any of the methods discussed above, are valued at their fair value, as determined by procedures established in good faith and approved by the Board of Trustees.

When-issued transactions

The Fund may purchase securities on a forward commitment or ‘when-issued’ basis. The Fund records a when-issued transaction on the trade date and will segregate assets to cover its obligation by confirming the availability of qualifying assets having a value sufficient to make payment for the securities purchased. Securities purchased on a when-issued basis are marked-to-market daily and the Fund begins earning interest on the settlement date. Losses may arise due to changes in the market value of the underlying securities or if the counterparty does not perform under the contract.

Term loans

The Fund may invest in term loans. The loans are marked-to-market daily and the Fund begins earning interest when the loans are funded. The loans pay interest at rates which are periodically reset by reference to a base lending rate plus a spread. The Fund assumes the credit risk of the borrower and there could be potential loss to the Fund in the event of default by the borrower.

As of January 31, 2012, the Fund had unfunded loan commitments of $1,867,906.

Fair valuation measurements

Fair value measurements of investments are determined within a framework that has established a fair value hierarchy based upon the various data inputs utilized in determining the value of the Fund’s investments. The three-level hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1) and the lowest priority to significant unobservable inputs (Level 3). The Fund’s investments are classified within the fair value hierarchy based on the lowest level of input that is significant to the fair value measurement. The inputs are summarized into three broad levels as follows:

 

Level 1 –   quoted prices in active markets for identical securities
Level 2 –  

other significant observable inputs (including quoted prices for similar

securities, interest rates, prepayment speeds, credit risk, etc.)

Level 3 –   significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments)

The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.


As of January 31, 2012, the inputs used in valuing the Fund’s assets, which are carried at fair value, were as follows:

 

Investments in Securities

   Quoted Prices
(Level 1)
     Significant Other
Observable
Inputs

(Level 2)
     Significant
Unobservable
Inputs

(Level 3)
     Total  

Equity securities

           

Common stocks

   $ 546,907       $ 0       $ 8,596       $ 555,503   

Preferred stocks

     1,176,070         0         0         1,176,070   

Convertible debentures

     0         2,946,844         0         2,946,844   

Corporate bonds and notes

     0         747,917,734         10,641,334         758,559,068   

Term loans

     0         63,502,168         17,042,256         80,544,424   

Yankee corporate bonds

     0         16,458,316         462         16,458,778   

Short-term investments

           

Investment companies

     48,700,700         0         0         48,700,700   
  

 

 

    

 

 

    

 

 

    

 

 

 
   $ 50,423,677       $ 830,825,062       $ 27,692,648       $ 908,941,387   
  

 

 

    

 

 

    

 

 

    

 

 

 

Transfers in and transfers out are recognized at the end of the reporting period. For the nine months ended January 31, 2012, the Fund did not have any significant transfers into/out of Level 1 and Level 2.

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

 

     Common
stocks
     Corporate
bonds and
notes
    Term
Loans
    Yankee
corporate
bonds and
notes
     Total  

Balance as of April 30, 2011

   $ 0       $ 12,165,050      $ 6,408,149      $ 462       $ 18,573,661   

Accrued discounts (premiums)

     0         3,754        2,609        0         6,363   

Realized gains (losses)

     0         (8,467     10,515        0         2,048   

Change in unrealized gains (losses)

     0         (1,188,927     (57,615     0         (1,246,542

Purchases

     0         0        0        0         0   

Sales

     0         (330,076     (2,739,102     0         (3,069,178

Transfers into Level 3

     8,596         0        14,825,879        0         14,834,475   

Transfers out of Level 3

     0         0        (1,408,179     0         (1,408,179
  

 

 

    

 

 

   

 

 

   

 

 

    

 

 

 

Balance as of January 31, 2012

   $ 8,596       $ 10,641,334      $ 17,042,256      $ 462       $ 27,692,648   
  

 

 

    

 

 

   

 

 

   

 

 

    

 

 

 

Change in unrealized gains (losses) relating to securities still held at January 31, 2012

   $ 0       ($ 1,168,515   ($ 13,957   $ 0       ($ 1,182,472
  

 

 

    

 

 

   

 

 

   

 

 

    

 

 

 


The following is a list of common abbreviations for terms and entities which may have appeared in the portfolio of investments.

ACB — Agricultural Credit Bank

ADR — American Depository Receipt

ADS — American Depository Shares

AGC-ICC — Assured Guaranty Corporation - Insured Custody Certificates

AGM — Assured Guaranty Municipal

AMBAC — American Municipal Bond Assurance Corporation

AMT — Alternative Minimum Tax

AUD — Australian Dollar

BAN — Bond Anticipation Notes

BHAC — Berkshire Hathaway Assurance Corporation

BRL — Brazil Real

CAB — Capital Appreciation Bond

CAD — Canadian Dollar

CCAB — Convertible Capital Appreciation Bond

CDA — Community Development Authority

CDO — Collateralized Debt Obligation

CHF — Swiss Franc

COP — Certificate of Participation

CR — Custody Receipts

DKK — Danish Krone

DRIVER — Derivative Inverse Tax-Exempt Receipts

DW&P — Department of Water & Power

DWR — Department of Water Resources

ECFA — Educational & Cultural Facilities Authority

EDA — Economic Development Authority

EDFA — Economic Development Finance Authority

ETF — Exchange-Traded Fund

EUR — Euro

FFCB — Federal Farm Credit Bank

FGIC — Financial Guaranty Insurance Corporation

FHA — Federal Housing Authority

FHLB — Federal Home Loan Bank

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

FSA — Farm Service Agency

GBP — Great British Pound

GDR — Global Depository Receipt

GNMA — Government National Mortgage Association

GO — General Obligation

HCFR — Healthcare Facilities Revenue

HEFA — Health & Educational Facilities Authority

HEFAR — Higher Education Facilities Authority Revenue

HFA — Housing Finance Authority

HFFA — Health Facilities Financing Authority

HKD — Hong Kong Dollar

HUF — Hungarian Forint

IBC — Insured Bond Certificate

IDA — Industrial Development Authority

IDAG — Industrial Development Agency

IDR — Industrial Development Revenue

IEP — Irish Pound

JPY — Japanese Yen

KRW — Republic of Korea Won

LIBOR — London Interbank Offered Rate

LLC — Limited Liability Company

LLP — Limited Liability Partnership

LOC — Letter of Credit

LP — Limited Partnership

MBIA — Municipal Bond Insurance Association

MFHR — Multi-Family Housing Revenue

MSTR — Municipal Securities Trust Receipts

MTN — Medium Term Note

MUD — Municipal Utility District

MXN — Mexican Peso

MYR — Malaysian Ringgit

NATL-RE — National Public Finance Guarantee Corporation

NOK — Norwegian Krone

NZD — New Zealand Dollar

PCFA — Pollution Control Finance Authority

PCR — Pollution Control Revenue

PFA — Public Finance Authority


PFFA — Public Facilities Financing Authority

PFOTER — Puttable Floating Option Tax-Exempt Receipts

plc — Public Limited Company

PLN — Polish Zloty

PUTTER — Puttable Tax-Exempt Receipts

R&D — Research & Development

RDA — Redevelopment Authority

RDFA — Redevelopment Finance Authority

REIT — Real Estate Investment Trust

ROC — Reset Option Certificates

SAVRS — Select Auction Variable Rate Securities

SBA — Small Business Authority

SEK — Swedish Krona

SFHR — Single Family Housing Revenue

SFMR — Single Family Mortgage Revenue

SGD — Singapore Dollar

SKK — Slovakian Koruna

SPDR — Standard & Poor’s Depositary Receipts

TAN — Tax Anticipation Notes

TBA — To Be Announced

TIPS — Treasury Inflation-Protected Securities

TRAN — Tax Revenue Anticipation Notes

TCR — Transferable Custody Receipts

TRY — Turkish Lira

TTFA — Transportation Trust Fund Authority

TVA — Tennessee Valley Authority

XLCA — XL Capital Assurance

ZAR — South African Rand


ITEM 2. CONTROLS AND PROCEDURES

(a) The President and Treasurer have concluded that the Wells Fargo Advantage Income Opportunities Fund (the “Trust”) disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) provide reasonable assurances that material information relating to the Trust is made known to them by the appropriate persons based on their evaluation of these controls and procedures as of a date within 90 days of the filing of this report.

(b) There were no significant changes in the Trust’s internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) that occurred during the registrant’s last fiscal quarter that has materially affected or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

Wells Fargo Advantage Income Opportunities Fund
        By:   /s/ Karla M. Rabusch
  Karla M. Rabusch
  President
        Date: March 26, 2012

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

Wells Fargo Advantage Income Opportunities Fund
        By:   /s/ Karla M. Rabusch
  Karla M. Rabusch
  President
        Date: March 26, 2012
        By:   /s/ Kasey L. Phillips
  Kasey L. Phillips
  Treasurer
        Date: March 26, 2012