þ | 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 |
A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
DATE: June 26, 2014 | BY: /s/ Bryan Jendretzke | |||
Bryan Jendretzke | ||||
Global Benefits Director | ||||
Benefits and Plan Administrator |
Page | |
2013 | 2012 | ||||||||||||||||||
Allocated Participant Directed | Unallocated Non-participant Directed | Total | Allocated Participant Directed | Unallocated Non-participant Directed | Total | ||||||||||||||
Assets | |||||||||||||||||||
Investments - at fair value (Notes 3 and 4) | $ | 8,531,703,367 | $ | 1,006,126,190 | $ | 9,537,829,557 | $ | 7,545,752,142 | $ | 831,241,473 | $ | 8,376,993,615 | |||||||
Receivables - interest, dividends and other | 24,880,525 | 7,261,746 | 32,142,271 | 33,920,112 | 854 | 33,920,966 | |||||||||||||
Receivables - employer contributions | 2,827,685 | — | 2,827,685 | — | — | — | |||||||||||||
Receivables - participant notes | 125,105,351 | — | 125,105,351 | 125,158,613 | — | 125,158,613 | |||||||||||||
Total Assets | $ | 8,684,516,928 | $ | 1,013,387,936 | $ | 9,697,904,864 | $ | 7,704,830,867 | $ | 831,242,327 | $ | 8,536,073,194 | |||||||
Liabilities | |||||||||||||||||||
LESOP loan payables (Note 5) | $ | — | $ | 91,571,513 | $ | 91,571,513 | $ | — | $ | 101,743,349 | $ | 101,743,349 | |||||||
Other payables | 38,146,031 | 4,423,531 | 42,569,562 | 28,379,521 | 4,914,901 | 33,294,422 | |||||||||||||
Total Liabilities | $ | 38,146,031 | $ | 95,995,044 | $ | 134,141,075 | $ | 28,379,521 | $ | 106,658,250 | $ | 135,037,771 | |||||||
Net Assets Available For Benefits Reflecting All Investments At Fair Value | $ | 8,646,370,897 | $ | 917,392,892 | $ | 9,563,763,789 | $ | 7,676,451,346 | $ | 724,584,077 | $ | 8,401,035,423 | |||||||
Adjustments From Fair Value To Contract Value For Fully Benefit- Responsive Investment Contracts | (51,577,588 | ) | — | (51,577,588 | ) | (113,534,522 | ) | — | (113,534,522 | ) | |||||||||
Net Assets Available For Benefits | $ | 8,594,793,309 | $ | 917,392,892 | $ | 9,512,186,201 | $ | 7,562,916,824 | $ | 724,584,077 | $ | 8,287,500,901 |
Allocated Participant Directed | Unallocated Non- Participant Directed | Total | |||||||
Additions | |||||||||
Investment income | |||||||||
Net appreciation in fair value of investments (Note 3) | $ | 1,240,356,232 | $ | 278,225,610 | $ | 1,518,581,842 | |||
Interest and dividends | 139,269,789 | 30,503,370 | 169,773,159 | ||||||
Total investment income | 1,379,626,021 | 308,728,980 | 1,688,355,001 | ||||||
Contributions | |||||||||
Employer | 2,827,685 | — | 2,827,685 | ||||||
Employee | 222,340,009 | — | 222,340,009 | ||||||
Total contributions | 225,167,694 | — | 225,167,694 | ||||||
Interest on participant notes receivable | 4,285,794 | — | 4,285,794 | ||||||
Allocation of 3,065,541 shares of common stock of The Dow Chemical Company, at market | 106,089,999 | — | 106,089,999 | ||||||
Total additions | 1,715,169,508 | 308,728,980 | 2,023,898,488 | ||||||
Deductions | |||||||||
Distributions and withdrawals | 680,227,017 | — | 680,227,017 | ||||||
Administrative expenses | 931,984 | — | 931,984 | ||||||
Interest expense | — | 9,830,166 | 9,830,166 | ||||||
Allocation of 3,065,641 shares of common stock of The Dow Chemical Company, at market | — | 106,089,999 | 106,089,999 | ||||||
Total deductions | 681,159,001 | 115,920,165 | 797,079,166 | ||||||
Transfers | |||||||||
Transfers in | 1,116,363 | — | 1,116,363 | ||||||
Transfers out | 3,250,385 | — | 3,250,385 | ||||||
Net transfers | (2,134,022 | ) | — | (2,134,022 | ) | ||||
Net Increase | 1,031,876,485 | 192,808,815 | 1,224,685,300 | ||||||
Net Assets Available for Benefits | |||||||||
Beginning of year | 7,562,916,824 | 724,584,077 | 8,287,500,901 | ||||||
End of year | $ | 8,594,793,309 | $ | 917,392,892 | $ | 9,512,186,201 |
1. | DESCRIPTION OF THE PLAN |
• | 50% of the total account balance or |
• | $50,000 less the highest outstanding participant note receivable balance in the preceding 12 months |
2. | SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES |
Interest rate instruments: | 2013 | 2012 | ||||
Assets | $ | 45,257,533 | $ | 48,547,460 | ||
Liabilities | 44,429,011 | 48,023,895 |
Interest rate instruments: | |||
Futures | $ | 5,568,088 | |
TBA | (568,615 | ) | |
$ | 4,999,473 |
• | United States equity markets through various investments in mutual and pooled funds (excluding target date funds); |
• | Interest rate and credit risk through investments in the Interest Income Fund; and |
• | The Dow Chemical Company credit risk through Dow stock investments. |
3. | INVESTMENTS |
2013 | 2012 | |||||
The Dow Chemical Company Stock - at fair value: | ||||||
Dow Stock (1) | $ | 781,240,555 | $ | 706,488,180 | ||
LESOP Allocated (2) | 654,693,274 | 500,146,344 | ||||
LESOP Unallocated (3) | 1,006,126,156 | 823,077,248 | ||||
Mutual funds - at fair value: | ||||||
Fidelity Contrafund K (1) | 584,509,545 | 441,097,416 | ||||
S&P 500 Index Fund | 1,024,905,963 | 792,687,525 | ||||
Synthetic GICs: | ||||||
IGT INVESCO ShrTrm Bond - at contract value | 821,887,174 | 852,586,602 |
The Dow Chemical Company Stock: | |||
Dow Stock (1) | $ | 229,722,663 | |
LESOP Allocated (2) | 184,444,754 | ||
LESOP Unallocated (3) | 278,225,610 | ||
Common/collective trusts | 437,700,251 | ||
Mutual funds | 338,203,817 | ||
Common stock | 6,580,273 | ||
Synthetic GICs: | |||
Fixed Income Securities | 24,053,356 | ||
Common/collective trusts | 20,416,021 | ||
Wrap Contracts | (19,304 | ) | |
Other | (745,599 | ) | |
Net appreciation in fair value of investments | $ | 1,518,581,842 |
(1) | Represents a party-in-interest to the Plan. |
(2) | Participant directed and represents a party-in-interest to the Plan. |
(3) | Non-participant directed and represents a party-in-interest to the Plan. |
2013 | 2012 | ||||||||||||
Allocated | Unallocated | Allocated | Unallocated | ||||||||||
Number of Shares | 14,745,344 | 22,660,499 | 15,474,825 | 25,466,499 | |||||||||
Cost | $ | 72,580,627 | $ | 356,721,064 | $ | 78,388,782 | $ | 391,472,993 | |||||
Fair Value | $ | 654,693,274 | $ | 1,006,126,156 | $ | 500,146,344 | $ | 823,077,248 |
Assets Measured at Fair Value on a Recurring Basis at December 31, 2013 | ||||||||||||
Level 1 | Level 2 | Level 3 | Total | |||||||||
The Dow Chemical Company Stock: | ||||||||||||
Dow Stock | $ | 781,240,555 | $ | — | $ | — | $ | 781,240,555 | ||||
LESOP (Allocated Shares) | 654,693,274 | — | — | 654,693,274 | ||||||||
LESOP (Unallocated Shares) | 1,006,126,156 | — | — | 1,006,126,156 | ||||||||
Common Stock | 47,471,358 | — | — | 47,471,358 | ||||||||
Mutual Funds: | ||||||||||||
Equities | 1,366,797,705 | — | — | 1,366,797,705 | ||||||||
Fixed Income | 920,675,018 | — | — | 920,675,018 | ||||||||
Balanced Investments | 32,610,938 | — | — | 32,610,938 | ||||||||
Common/collective trusts: | ||||||||||||
Equities (1) | — | 1,645,204,038 | — | 1,645,204,038 | ||||||||
Fixed Income (2) | — | 61,922,873 | — | 61,922,873 | ||||||||
Retirement Age Investments (3) | — | 814,971,612 | — | 814,971,612 | ||||||||
Temporary investments | — | 35,136,835 | — | 35,136,835 | ||||||||
Synthetic GICs | ||||||||||||
Derivative Contracts | 881,680 | (53,158 | ) | — | 828,522 | |||||||
Fixed Income Securities: | ||||||||||||
Corporate | — | 398,883,223 | — | 398,883,223 | ||||||||
US Government | — | 676,806,971 | — | 676,806,971 | ||||||||
Other | — | 18,594,902 | — | 18,594,902 | ||||||||
Common/collective trusts: | ||||||||||||
Fixed Income (2) | — | 933,886,707 | — | 933,886,707 | ||||||||
Temporary Investments | — | 141,640,524 | — | 141,640,524 | ||||||||
Wrap Contracts | — | — | 338,346 | 338,346 | ||||||||
Total assets at fair value | $ | 4,810,496,684 | $ | 4,726,994,527 | $ | 338,346 | $ | 9,537,829,557 |
Assets Measured at Fair Value on a Recurring Basis at December 31, 2012 | ||||||||||||
Level 1 | Level 2 | Level 3 | Total | |||||||||
The Dow Chemical Company Stock: | ||||||||||||
Dow Stock | $ | 706,488,180 | $ | — | $ | — | $ | 706,488,180 | ||||
LESOP (Allocated Shares) | 500,146,344 | — | — | 500,146,344 | ||||||||
LESOP (Unallocated Shares) | 823,077,248 | — | — | 823,077,248 | ||||||||
Common Stock | 45,232,003 | — | — | 45,232,003 | ||||||||
Mutual Funds | ||||||||||||
Equities | 1,066,185,724 | — | — | 1,066,185,724 | ||||||||
Fixed Income | 937,724,181 | — | — | 937,724,181 | ||||||||
Balanced Investments | 19,049,375 | — | — | 19,049,375 | ||||||||
Common/collective trusts: | ||||||||||||
Equities (1) | — | 1,230,335,475 | — | 1,230,335,475 | ||||||||
Fixed Income (2) | — | 64,550,130 | — | 64,550,130 | ||||||||
Retirement Age Investments (3) | — | 672,812,579 | — | 672,812,579 | ||||||||
Temporary investments | — | 19,579,350 | — | 19,579,350 | ||||||||
Synthetic GICs | ||||||||||||
Derivative Contracts | 534,062 | (10,497 | ) | — | 523,565 | |||||||
Fixed Income Securities: | ||||||||||||
Corporate | — | 356,357,199 | — | 356,357,199 | ||||||||
US Government | — | 707,108,941 | — | 707,108,941 | ||||||||
Other | — | 19,576,347 | — | 19,576,347 | ||||||||
Common/collective trusts: | ||||||||||||
Fixed Income (2) | — | 980,761,282 | — | 980,761,282 | ||||||||
Temporary Investments | — | 227,128,042 | — | 227,128,042 | ||||||||
Wrap Contracts | — | — | 357,650 | 357,650 | ||||||||
Total assets at fair value | $ | 4,098,437,117 | $ | 4,278,198,848 | $ | 357,650 | $ | 8,376,993,615 |
(1) | This class represents investments in actively managed common/collective trusts that invest primarily in equity securities, which may include common stocks, options and futures. There were no significant redemption restrictions, redemption notification requirements, or unfunded commitments. |
(2) | This class represents investments in actively managed common/collective trusts that invest in a variety of fixed income investments, which may include corporate bonds, both U.S. and non-U.S. municipal securities, interest rate swaps, options and futures. There were no significant redemption restrictions, redemption notification requirements, or unfunded commitments. |
(3) | This class represents investments in actively managed common/collective trusts with investments in both equity and debt securities. The investments may include common stock, corporate bonds, U.S. and non-U.S. municipal securities, real estate, interest rate swaps, options and futures. There were no significant redemption restrictions, redemption notification requirements, or unfunded commitments. |
Synthetic GIC Wrap Contract | |||
Balance as of January 1, 2013 | $ | 357,650 | |
Unrealized Loss | (19,304 | ) | |
Balance as of December 31, 2013 | $ | 338,346 |
5. | LEVERAGED EMPLOYEE STOCK OWNERSHIP PLAN AND LOAN PAYABLE |
2014 | $ | 11,231,088 | |
2015 | 12,400,648 | ||
2016 | 13,692,004 | ||
2017 | 15,117,833 | ||
2018 | 16,692,143 | ||
Thereafter | 22,437,797 | ||
$ | 91,571,513 |
6. | RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500 |
2013 | 2012 | |||||
Net assets available for benefits per the financial statements | $ | 9,512,186,201 | $ | 8,287,500,901 | ||
Adjustment from contract value to fair value for fully benefit-responsive synthetic guaranteed investment contracts | 51,577,588 | 113,534,522 | ||||
Net assets available for benefits per Form 5500 | $ | 9,563,763,789 | $ | 8,401,035,423 |
Net investment gain per the financial statements | $ | 1,688,355,001 | |
Adjustment for participant notes receivable interest | 4,285,794 | ||
Adjustment from contract value to fair value for fully benefit-responsive synthetic guaranteed investment contracts | (61,956,934 | ) | |
Net investment gain per Form 5500 | $ | 1,630,683,861 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN | ||||||||
PLAN SPONSOR: THE DOW CHEMICAL COMPANY | ||||||||
EMPLOYER IDENTIFCATION NO. 38-1285128 | ||||||||
PLAN NO. 002 | ||||||||
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR) | ||||||||
INCLUDING APPENDICES A - F | ||||||||
AS OF DECEMBER 31, 2013 | ||||||||
(c) | ||||||||
Description of Investment | ||||||||
(b) | Including Maturity Date, | (d) | (e) | |||||
Identity of Issuer, Borrower, | Rate of Interest, Collateral, | Cost or Contract | Current | |||||
(a) | Lessor, or Similar Party | Par, or Maturity Value | Value | Value | ||||
* | The Dow Chemical Company: | |||||||
Dow Stock | Dow Stock | ** | $ | 781,240,555 | ||||
LESOP | Allocated LESOP - Dow Stock | ** | 654,693,274 | |||||
LESOP | Unallocated LESOP - Dow Stock | $ | 356,721,064 | 1,006,126,156 | ||||
Praxair Stock | Common Stock | ** | 37,638,354 | |||||
S&P 500 Index Fund | Common/Collective Trust | ** | 1,024,905,963 | |||||
T. Rowe Price US Treasury Fund | Common/Collective Trust | ** | 61,922,873 | |||||
PIM Total Return Inst | Mutual Fund | ** | 180,755,405 | |||||
TRP IS MID CP EQ GR | Mutual Fund | ** | 279,509,475 | |||||
NB Genesis Inst CL | Mutual Fund | ** | 266,581,900 | |||||
TRP High Yield Inst | Mutual Fund | ** | 125,525,676 | |||||
BTC Lifepath Ret | Common/Collective Trust | ** | 72,548,513 | |||||
BTC Lifepath 2015 | Common/Collective Trust | ** | 92,274,782 | |||||
BTC Lifepath 2020 | Common/Collective Trust | ** | 186,896,421 | |||||
BTC Lifepath 2025 | Common/Collective Trust | ** | 148,491,514 | |||||
BTC Lifepath 2030 | Common/Collective Trust | ** | 120,711,996 | |||||
BTC Lifepath 2035 | Common/Collective Trust | ** | 64,337,733 | |||||
BTC Lifepath 2040 | Common/Collective Trust | ** | 48,191,735 | |||||
BTC Lifepath 2045 | Common/Collective Trust | ** | 41,946,252 | |||||
BTC Lifepath 2050 | Common/Collective Trust | ** | 24,043,168 | |||||
BTC Lifepath 2055 | Common/Collective Trust | ** | 15,529,498 | |||||
ACWI ex-US IMI Index | Common/Collective Trust | ** | 166,337,820 | |||||
American Century U.S. Real Estate Securities Trust | Common/Collective Trust | ** | 69,573,709 | |||||
Vang Tot BD Mkt Inst | Mutual Fund | ** | 87,009,802 | |||||
Vang Global Equity | Mutual Fund | ** | 101,336,169 | |||||
Vang Dev Mkt IDX IPS | Mutual Fund | ** | 134,860,617 | |||||
Vang Convertible Sec | Mutual Fund | ** | 32,610,938 | |||||
Vang LT Treasury ADM | Mutual Fund | ** | 27,227,506 | |||||
Vang Ext Mkt Idx ISP | Mutual Fund | ** | 424,150,881 | |||||
PIM Real Ret Inst | Mutual Fund | ** | 58,059,915 | |||||
PIM Com Real Ret I | Mutual Fund | ** | 17,945,832 | |||||
Lilly Pre 91 Stock | Common Stock | ** | 3,425,109 | |||||
Lilly Post 90 Stock | Common Stock | ** | 6,407,895 | |||||
Small Cap: | ||||||||
BTC Russel 2000 Index Fund | Common/Collective Trust | ** | 305,370,100 | |||||
Emerging Markets IDX: | ||||||||
Emerging Markets Non-Lend | Common/Collective Trust | ** | 79,016,446 | |||||
Forward | 6,747,203,982 | |||||||
* | Represents a party-in-interest to the Plan | |||||||
** | Cost information not required |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN | ||||||
PLAN SPONSOR: THE DOW CHEMICAL COMPANY | ||||||
EMPLOYER IDENTIFCATION NO. 38-1285128 | ||||||
PLAN NO. 002 | ||||||
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR) | ||||||
INCLUDING APPENDICES A - F | ||||||
AS OF DECEMBER 31, 2013 | ||||||
(c) | ||||||
Description of Investment | ||||||
(b) | Including Maturity Date, | (d) | (e) | |||
Identity of Issuer, Borrower, | Rate of Interest, Collateral, | Cost or Contract | Current | |||
(a) | Lessor, or Similar Party | Par, or Maturity Value | Value | Value | ||
Forward | $ | 6,747,203,982 | ||||
* | Fidelity Contrafund K | Mutual Fund | ** | 584,509,545 | ||
Interest Bearing Cash | Temporary Investments | ** | 35,136,835 | |||
* | Fidelity Short Term Investment Fund | Temporary Investments | ** | 67,876,387 | ||
* | Participant Notes Receivable | Interest recorded at prime rate (3.25% - 10.5%) and maturities up to 60 months | ** | 125,105,351 | ||
Total | $ | 7,559,832,100 | ||||
* | Represents a party-in-interest to the Plan | (continued) | ||||
** | Cost information not required |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN | ||||||
PLAN SPONSOR: THE DOW CHEMICAL COMPANY | ||||||
EMPLOYER IDENTIFCATION NO. 38-1285128 | ||||||
PLAN NO. 002 | ||||||
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR) | ||||||
INCLUDING APPENDICES A - F | ||||||
AS OF DECEMBER 31, 2013 | ||||||
(c) | ||||||
Description of Investment | ||||||
(b) | Including Maturity Date, | (d) | (e) | |||
Identity of Issuer, Borrower, | Rate of Interest, Collateral, | Cost or Contract | Current | |||
(a) | Lessor, or Similar Party | Par, or Maturity Value | Value | Value | ||
Pacific Life: | ||||||
G- 27523.01.000 (see underlying assets at Appendix A) | PIMCO, Western; evergreen; | |||||
Synthetic GIC | ** | $ | 262,688,193 | |||
Pacific Life Wrapper Contract | ** | — | ||||
ING Life: | ||||||
#60031-A | IGT INVESTCO ShrtTrm Bond: | |||||
evergreen; Common/collective trusts | ** | 356,727,449 | ||||
ING Life Wrapper Contract | ** | — | ||||
#60031-B | IGT ING ShrtDuration; | |||||
evergreen; Common/collective trusts | ** | 96,051,312 | ||||
ING Life Wrapper Contract | ** | — | ||||
#60090 (see underlying assets at Appendix B) | Various Securities, maturity dates, | |||||
and asset types | ** | 2,872,051 | ||||
ING Life Wrapper Contract | ** | — | ||||
NYL | ||||||
GA-29007 (see underlying assets at Appendix C) | MacKay Shields Dow; evergreen; | |||||
Synthetic GIC | ** | 111,202,322 | ||||
NYL Wrapper Contract | ** | — | ||||
Monumental Life Insurance Company: | ||||||
MDA01078TR (see underlying assets at Appendix D) | IGT INVESCO ShrtTrm Bond, | |||||
Dow NISA; evergreen; Synthetic GIC | ** | 444,546,460 | ||||
Monumental Life Insurance Company Wrapper Contract | ** | 338,346 | ||||
RGA | ||||||
RGA 00036 (see underlying assets at Appendix F) | IGT INVESCO ShrtTrm Bond; Wellington | |||||
Dow, evergreen; Synthetic GIC | ** | 193,339,054 | ||||
RGA Wrapper Contract | ** | — | ||||
Prudential Insurance | ||||||
GA-62233 (see underlying assets at Appendix E) | Jennison, evergreen; | |||||
Synthetic GIC | ** | 380,549,406 | ||||
Prudential Insurance Wrapper Contract | ** | — | ||||
GA-63084 | IGT INVESCO ShrtTrm Bond; | |||||
evergreen; Common/collective trusts | ** | 89,160,725 | ||||
Prudential Insurance Wrapper Contract | ** | — |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN | ||||||
PLAN SPONSOR: THE DOW CHEMICAL COMPANY | ||||||
EMPLOYER IDENTIFCATION NO. 38-1285128 | ||||||
PLAN NO. 002 | ||||||
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR) | ||||||
INCLUDING APPENDICES A - F | ||||||
AS OF DECEMBER 31, 2013 | ||||||
(c) | ||||||
Description of Investment | ||||||
(b) | Including Maturity Date, | (d) | (e) | |||
Identity of Issuer, Borrower, | Rate of Interest, Collateral, | Cost or Contract | Current | |||
(a) | Lessor, or Similar Party | Par, or Maturity Value | Value | Value | ||
Tokyo-Mitsubishi | ||||||
INV-DOWCHEM 13-1 | IGT INVESCO ShrtTrm Bond; | |||||
(see underlying assets at Appendix F) | Wellington Dow; evergreen; | ** | $ | 165,627,490 | ||
Synthetic GIC | ||||||
Tokyo-Mitsubishi Wrapper Contract | ** | — | ||||
Total guaranteed investment contracts | $ | 2,103,102,808 | ||||
Total | $ | 9,662,934,908 | ||||
** | Cost information not required | (Concluded) |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN | ||||||
SCHEDULE H, PART IV LINE 4j - SCHEDULE OF REPORTABLE TRANSACTIONS | ||||||
EMPLOYER IDENTIFICATION NO. 38 - 1285128, PLAN NO. 002 | ||||||
FOR THE YEAR ENDED DECEMBER 31, 2013 | ||||||
Category (iii) - A series of transactions, when aggregated, involving an amount in excess of 5% of beginning plan net assets. | ||||||
(h) | ||||||
(a) | Current Value | |||||
Identity | (c) | (d) | (g) | of Asset on | (I) | |
of Party | (b) | Purchase | Selling | Cost of | Transaction | Net Gain/ |
Involved | Description of Asset | Price | Price | Asset | Date | (Loss) |
Fidelity | Fidelity Short Term Investment Fund | |||||
Purchases - 18 | 24,009,662 | — | 24,009,662 | 24,009,662 | — | |
Sales - 8 | — | 32,173,853 | 32,173,853 | 32,173,853 | — | |
There were no Category (i) (ii) or (iv) reportable transactions during the year ended December 31, 2013 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY EMPLOYER IDENTIFCATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01-000 December 31, 2013 | ||||||||
(c) | ||||||||
(b) | Face Value | (e) | ||||||
Identity of Issue, Borrower, | or Number | (d) | Current | |||||
(a) | Lessor or Similar Party | of Shares | Cost | Value | ||||
ABBEY NATIONAL TREASURY SERVIC | VAR RT 04/25/2014 | 1,600,000 | 1,600,000 | 1,607,030 | ||||
AMERICAN INTERNATIONAL GROUP I | 5.050% 10/01/2015 DD 04/01/06 | 400,000 | 248,000 | 428,416 | ||||
BANK OF AMERICA CORP | 6.000% 09/01/2017 DD 08/23/07 | 3,300,000 | 3,294,274 | 3,767,907 | ||||
BARCLAYS BANK PLC | 2.375% 01/13/2014 DD 01/13/11 | 1,600,000 | 1,597,424 | 1,600,880 | ||||
BP CAPITAL MARKETS PLC | 3.125% 10/01/2015 DD 10/01/10 | 1,400,000 | 1,396,024 | 1,462,650 | ||||
BP CAPITAL MARKETS PLC | 4.500% 10/01/2020 DD 10/01/10 | 1,000,000 | 994,510 | 1,080,420 | ||||
CALIFORNIA ST | 7.500% 04/01/2034 DD 04/28/09 | 200,000 | 201,470 | 255,174 | ||||
CALIFORNIA ST | 7.625% 03/01/2040 DD 04/01/10 | 900,000 | 1,248,318 | 1,177,083 | ||||
CHICAGO IL O'HARE INTERNATIONA | 5.000% 01/01/2033 DD 12/22/05 | 500,000 | 493,125 | 501,130 | ||||
CHICAGO IL TRANSIT AUTH SALES | 6.899% 12/01/2040 DD 08/06/08 | 1,500,000 | 1,500,000 | 1,670,040 | ||||
CHICAGO IL TRANSIT AUTH SALES | 6.899% 12/01/2040 DD 08/06/08 | 1,500,000 | 1,500,000 | 1,683,270 | ||||
CITIGROUP INC | 6.000% 08/15/2017 DD 08/15/07 | 200,000 | 201,548 | 227,952 | ||||
CITIGROUP INC | 6.125% 11/21/2017 DD 11/21/07 | 600,000 | 570,516 | 691,626 | ||||
CITIGROUP INC | VAR RT 04/01/2016 DD 03/27/13 | 2,400,000 | 2,400,000 | 2,415,672 | ||||
COMMIT TO PUR FNMA SF MTG | 2.500% 01/01/2029 DD 01/01/14 | 1,000,000 | 995,625 | 989,690 | ||||
COMMIT TO PUR FNMA SF MTG | 3.500% 01/01/2044 DD 01/01/14 | (1,000,000 | ) | (994,844 | ) | (993,360 | ) | |
COMMIT TO PUR FNMA SF MTG | 4.000% 01/01/2044 DD 01/01/14 | (2,000,000 | ) | (2,066,313 | ) | (2,058,760 | ) | |
COMMIT TO PUR FNMA SF MTG | 4.000% 02/01/2044 DD 02/01/14 | (3,000,000 | ) | (3,088,125 | ) | (3,078,750 | ) | |
COOPERATIEVE CENTRALE RAIFFEIS | 4.500% 01/11/2021 DD 01/11/11 | 1,700,000 | 1,695,393 | 1,804,397 | ||||
CORP NACIONAL DEL COBRE D 144A | 3.000% 07/17/2022 DD 07/17/12 | 3,900,000 | 3,847,857 | 3,508,128 | ||||
DAIMLER FINANCE NORTH AME 144A | 1.300% 07/31/2015 DD 08/01/12 | 2,600,000 | 2,595,268 | 2,615,262 | ||||
ESC LEHMAN BRTH HLD | 0.000% 05/02/2018 DD 04/24/08 | 1,800,000 | 1,402,698 | 389,250 | ||||
ESC LEHMAN BRTH HLD ESCROW | 0.000% 01/24/2013 DD 01/22/08 | 900,000 | 709,693 | 191,250 | ||||
FHLMC POOL #1G-1744 | VAR RT 08/01/2035 DD 09/01/05 | 638,963 | 640,725 | 682,023 | ||||
FHLMC POOL #78-0605 | VAR RT 06/01/2033 DD 06/01/03 | 763,400 | 762,923 | 803,914 | ||||
FHLMC POOL #84-6183 | VAR RT 01/01/2024 DD 10/01/95 | 30,934 | 29,601 | 32,647 | ||||
FHLMC MULTICLASS MTG 6 C | 9.050% 06/15/2019 DD 05/15/88 | 7,988 | 7,961 | 8,694 | ||||
FNMA POOL #0072163 | VAR RT 02/01/2028 DD 02/01/89 | 8,735 | 8,664 | 9,009 | ||||
FNMA POOL #0112511 | VAR RT 09/01/2020 DD 01/01/91 | 3,303 | 3,321 | 3,468 | ||||
FNMA POOL #0253431 | 7.500% 09/01/2015 DD 08/01/00 | 233 | 248 | 241 | ||||
FNMA POOL #0303298 | VAR RT 01/01/2025 DD 04/01/95 | 11,335 | 11,640 | 11,473 | ||||
FNMA POOL #0323919 | VAR RT 08/01/2029 DD 08/01/99 | 22,301 | 21,409 | 23,535 | ||||
FNMA POOL #0361373 | VAR RT 07/01/2026 DD 09/01/96 | 32,342 | 33,161 | 34,462 | ||||
FNMA POOL #0535873 | 7.500% 03/01/2016 DD 03/01/01 | 3,466 | 3,689 | 3,602 | ||||
FNMA POOL #0561801 | 7.500% 11/01/2015 DD 11/01/00 | 4,404 | 4,686 | 4,498 | ||||
FNMA POOL #0628467 | 7.500% 03/01/2017 DD 02/01/02 | 5,994 | 6,379 | 6,317 | ||||
FNMA POOL #0635940 | 7.500% 03/01/2017 DD 03/01/02 | 7,422 | 7,898 | 7,631 | ||||
FNMA POOL #0AA7243 | 4.500% 11/01/2018 DD 05/01/09 | 207,015 | 219,832 | 220,351 | ||||
FNMA POOL #0AB4698 | 4.000% 03/01/2042 DD 02/01/12 | 677,197 | 702,592 | 700,256 | ||||
FNMA POOL #0AB4955 | 4.000% 04/01/2042 DD 03/01/12 | 1,120,922 | 1,162,957 | 1,159,258 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY EMPLOYER IDENTIFCATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01-000 December 31, 2013 | ||||||||
FNMA POOL #0AK3107 | 4.000% 02/01/2042 DD 02/01/12 | 485,548 | 503,301 | 501,357 | ||||
FNMA POOL #0AL2171 | 4.000% 06/01/2042 DD 07/01/12 | 1,059,022 | 1,097,743 | 1,093,472 | ||||
FNMA POOL #0AL2382 | 4.000% 02/01/2042 DD 08/01/12 | 2,212,052 | 2,292,930 | 2,284,231 | ||||
FNMA POOL #0AS1083 | 3.500% 07/01/2043 DD 10/01/13 | 1,996,677 | 2,012,588 | 1,985,535 | ||||
FNMA GTD REMIC P/T 03-88 FE | VAR RT 05/25/2030 DD 08/25/03 | 15,864 | 15,906 | 15,864 | ||||
FORD MOTOR CREDIT CO LLC | VAR RT 08/28/2014 DD 03/05/13 | 4,000,000 | 4,000,000 | 4,018,600 | ||||
GNMA POOL #0434797 | 8.500% 07/15/2030 DD 07/01/00 | 6,044 | 6,273 | 6,769 | ||||
GNMA POOL #0434944 | 8.500% 11/15/2030 DD 11/01/00 | 8,808 | 9,141 | 10,308 | ||||
GNMA POOL #0434985 | 8.500% 12/15/2030 DD 12/01/00 | 10,701 | 11,089 | 11,624 | ||||
GNMA POOL #0486116 | 8.500% 07/15/2030 DD 07/01/00 | 11,009 | 11,412 | 11,236 | ||||
GNMA POOL #0494885 | 8.500% 03/15/2030 DD 03/01/00 | 2,043 | 2,120 | 2,052 | ||||
GNMA POOL #0498147 | 8.500% 12/15/2029 DD 12/01/99 | 406 | 421 | 410 | ||||
GNMA POOL #0511172 | 8.500% 01/15/2030 DD 01/01/00 | 646 | 670 | 661 | ||||
GNMA POOL #0520979 | 8.500% 09/15/2030 DD 09/01/00 | 7,645 | 7,934 | 9,003 | ||||
GNMA POOL #0521829 | 8.500% 05/15/2030 DD 05/01/00 | 8,941 | 9,271 | 10,451 | ||||
GNMA POOL #0531197 | 8.500% 06/15/2030 DD 06/01/00 | 9,575 | 9,925 | 9,781 | ||||
GNMA POOL #0698036 | 6.000% 01/15/2039 DD 01/01/09 | 85,510 | 93,166 | 95,147 | ||||
GNMA POOL #0782190 | 6.000% 10/15/2037 DD 10/01/07 | 13,264 | 14,452 | 14,766 | ||||
GNMA POOL #0782449 | 6.000% 09/15/2038 DD 10/01/08 | 127,052 | 138,428 | 141,385 | ||||
GNMA II POOL #0003001 | 8.500% 11/20/2030 DD 11/01/00 | 9,625 | 9,941 | 11,327 | ||||
GNMA II POOL #0008089 | VAR RT 12/20/2022 DD 12/01/92 | 83,365 | 84,771 | 86,428 | ||||
GNMA II POOL #0008913 | VAR RT 07/20/2026 DD 07/01/96 | 23,265 | 22,996 | 23,922 | ||||
GNMA II POOL #0080022 | VAR RT 12/20/2026 DD 12/01/96 | 25,224 | 25,335 | 26,154 | ||||
GNMA II POOL #0080354 | VAR RT 12/20/2029 DD 12/01/99 | 56,031 | 57,336 | 58,099 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.950% 01/18/2018 DD 01/18/08 | 1,600,000 | 1,656,710 | 1,819,104 | ||||
GOLDMAN SACHS GROUP INC/THE | 6.150% 04/01/2018 DD 04/01/08 | 200,000 | 233,932 | 229,336 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.250% 07/27/2021 DD 07/27/11 | 100,000 | 99,946 | 109,484 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.750% 01/24/2022 DD 01/24/12 | 2,700,000 | 3,049,731 | 3,039,363 | ||||
HONOLULU CITY & CNTY HI | 5.000% 11/01/2024 DD 11/20/12 | 600,000 | 749,958 | 687,300 | ||||
HONOLULU CITY & CNTY HI | 5.000% 11/01/2025 DD 11/20/12 | 600,000 | 745,710 | 682,332 | ||||
HONOLULU CITY & CNTY HI | 5.000% 11/01/2026 DD 11/20/12 | 600,000 | 741,492 | 675,366 | ||||
HONOLULU CITY & CNTY HI | 5.000% 11/01/2028 DD 11/20/12 | 600,000 | 734,328 | 662,172 | ||||
HONOLULU CITY & CNTY HI | 5.000% 11/01/2023 DD 11/20/12 | 700,000 | 880,649 | 808,479 | ||||
HONOLULU CITY & CNTY HI | 5.000% 11/01/2024 DD 11/20/12 | 1,200,000 | 1,499,916 | 1,374,600 | ||||
HONOLULU CITY & CNTY HI | 5.000% 11/01/2025 DD 11/20/12 | 1,300,000 | 1,615,705 | 1,478,386 | ||||
JOHNSON & JOHNSON | VAR RT 11/28/2016 DD 12/05/13 | 2,600,000 | 2,600,000 | 2,601,482 | ||||
JPMORGAN CHASE & CO | VAR RT 02/26/2016 DD 02/26/13 | 4,000,000 | 4,000,000 | 4,016,440 | ||||
KING CNTY WA | 4.750% 01/01/2034 DD 02/12/08 | 400,000 | 400,916 | 405,172 | ||||
LAS VEGAS VLY NV WTR DIST | 5.000% 02/01/2034 DD 02/19/08 | 400,000 | 412,324 | 408,664 | ||||
LEHMAN BRTH HLD (RICI) ESCROW | 0.000% 12/28/2017 DD 12/21/07 | 2,000,000 | 1,998,520 | — | ||||
MERRILL LYNCH & CO INC | 6.875% 04/25/2018 DD 04/25/08 | 2,100,000 | 2,336,351 | 2,482,977 | ||||
MORGAN STANLEY | VAR RT 01/09/2014 DD 01/09/07 | 400,000 | 270,000 | 400,004 | ||||
MORGAN STANLEY | 2.875% 07/28/2014 DD 07/28/11 | 200,000 | 199,954 | 202,590 | ||||
MORGAN STANLEY | 7.300% 05/13/2019 DD 05/13/09 | 900,000 | 991,911 | 1,092,969 | ||||
MURRAY STREET INVESTMENT TRUST | STEP 03/09/2017 DD 12/01/2011 | 500,000 | 520,398 | 538,445 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY EMPLOYER IDENTIFCATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01-000 December 31, 2013 | ||||||||
NATIONAL AUSTRALIA BANK L 144A | 1.250% 03/08/2018 DD 03/08/13 | 5,300,000 | 5,273,712 | 5,159,126 | ||||
REILLY MTG ASSOC 91ST FHA PROJ | VAR RT 02/01/2023 DD 11/04/99 | 40,976 | 42,005 | 40,057 | ||||
REYNOLDS AMERICAN INC | 7.750% 06/01/2018 DD 12/01/06 | 1,800,000 | 1,965,388 | 2,167,578 | ||||
SHELL INTERNATIONAL FINANCE BV | 1.125% 08/21/2017 DD 08/21/12 | 700,000 | 695,975 | 690,354 | ||||
SLM STUDENT LOAN TRUST 200 9 A | VAR RT 04/25/2023 DD 08/28/08 | 2,963,734 | 2,951,709 | 3,053,624 | ||||
TOTAL CAPITAL SA | 3.000% 06/24/2015 DD 06/24/10 | 2,300,000 | 2,291,007 | 2,382,363 | ||||
U S TREASURY NOTE | 0.625% 12/15/2016 DD 12/15/13 | 5,400,000 | 5,399,039 | 5,378,076 | ||||
U S TREASURY NOTE | 2.750% 02/15/2019 DD 02/15/09 | 4,900,000 | 5,040,895 | 5,134,269 | ||||
U S TREASURY NOTE | 3.000% 09/30/2016 DD 09/30/09 | 700,000 | 706,535 | 743,967 | ||||
U S TREASURY NOTE | 2.375% 02/28/2015 DD 02/28/10 | 800,000 | 798,813 | 820,032 | ||||
U S TREASURY NOTE | 1.875% 08/31/2017 DD 08/31/10 | 500,000 | 516,973 | 513,280 | ||||
U S TREASURY NOTE | 1.000% 05/15/2014 DD 05/15/11 | 6,600,000 | 6,665,789 | 6,621,912 | ||||
U S TREASURY NOTE | 2.375% 05/31/2018 DD 05/31/11 | 300,000 | 301,840 | 311,415 | ||||
U S TREASURY NOTE | 2.250% 07/31/2018 DD 07/31/11 | 5,600,000 | 5,680,984 | 5,772,816 | ||||
U S TREASURY NOTE | 0.500% 08/15/2014 DD 08/15/11 | 100,000 | 100,332 | 100,234 | ||||
U S TREASURY NOTE | 0.250% 09/15/2014 DD 09/15/11 | 4,800,000 | 4,804,898 | 4,804,128 | ||||
U S TREASURY NOTE | 0.500% 10/15/2014 DD 10/15/11 | 200,000 | 200,695 | 200,562 | ||||
U S TREASURY NOTE | 0.375% 11/15/2014 DD 11/15/11 | 4,700,000 | 4,712,867 | 4,708,977 | ||||
U S TREASURY NOTE | 0.875% 12/31/2016 DD 12/31/11 | 650,000 | 649,796 | 651,424 | ||||
U S TREASURY NOTE | 0.250% 01/15/2015 DD 01/15/12 | 7,700,000 | 7,707,363 | 7,706,314 | ||||
U S TREASURY NOTE | 0.250% 02/15/2015 DD 02/15/12 | 27,400,000 | 27,396,298 | 27,419,180 | ||||
U S TREASURY NOTE | 0.250% 05/31/2014 DD 05/31/12 | 400,000 | 400,375 | 400,236 | ||||
U S TREASURY NOTE | 0.250% 06/30/2014 DD 06/30/12 | 100,000 | 100,066 | 100,078 | ||||
U S TREASURY NOTE | 0.250% 08/31/2014 DD 08/31/12 | 200,000 | 200,188 | 200,172 | ||||
U S TREASURY NOTE | 0.250% 09/30/2014 DD 09/30/12 | 100,000 | 100,129 | 100,082 | ||||
U S TREASURY NOTE | 0.250% 10/31/2014 DD 10/31/12 | 4,000,000 | 4,004,844 | 4,003,440 | ||||
U S TREASURY NOTE | 0.125% 12/31/2014 DD 12/31/12 | 5,300,000 | 5,294,428 | 5,298,357 | ||||
U S TREASURY NOTE | 0.250% 03/31/2015 DD 03/31/13 | 4,800,000 | 4,803,016 | 4,802,640 | ||||
U S TREASURY NOTES | 1.750% 10/31/2020 DD 10/31/13 | 900,000 | 876,727 | 863,442 | ||||
UBS AG/STAMFORD CT | VAR RT 01/28/2014 DD 01/28/11 | 872,000 | 872,000 | 872,759 | ||||
UBS AG/STAMFORD CT | 2.250% 01/28/2014 DD 01/28/11 | 582,000 | 581,750 | 582,751 | ||||
UNITED STATES TREASURY NOTE | 1.375% 07/31/2018 DD 07/31/13 | 64,300,000 | 64,201,132 | 63,722,586 | ||||
UNIV OF CALIFORNIA CA RGTS MED | 6.548% 05/15/2048 DD 11/18/10 | 200,000 | 200,000 | 233,280 | ||||
US TREAS-CPI INFLAT | 1.125% 01/15/2021 DD 01/15/11 | 5,445,372 | 5,596,602 | 5,723,195 | ||||
US TREAS-CPI INFLAT | 0.125% 01/15/2022 DD 01/15/12 | 7,739,625 | 7,967,608 | 7,438,476 | ||||
US TREAS-CPI INFLAT | 0.125% 07/15/2022 DD 07/15/12 | 2,843,876 | 3,070,330 | 2,724,121 | ||||
US TREAS-CPI INFLAT | 0.125% 01/15/2023 DD 01/15/13 | 1,011,890 | 1,088,926 | 955,680 | ||||
US TREAS-CPI INFLAT | 0.125% 04/15/2018 DD 04/15/13 | 1,515,615 | 1,548,407 | 1,545,806 | ||||
VERIZON COMMUNICATIONS INC | 3.650% 09/14/2018 DD 09/18/13 | 2,600,000 | 2,599,896 | 2,752,256 | ||||
VESEY STREET INVESTMENT TRUST | STEP 09/01/2016 DD 06/01/2012 | 1,800,000 | 1,802,340 | 1,932,678 | ||||
WESTLB AG/NEW YORK | 4.796% 07/15/2015 DD 07/12/05 | 1,799,000 | 1,695,371 | 1,900,554 | ||||
ARGENT SECURITIES INC W10 M1 | VAR RT 10/25/2034 DD 09/09/04 | 500,000 | 370,625 | 456,230 | ||||
BANC OF AMERICA MORTGAGE A 1A1 | VAR RT 02/25/2034 DD 01/01/04 | 10,932 | 10,859 | 10,786 | ||||
BEAR STEARNS ALT-A TRUS 11 2A2 | VAR RT 11/25/2034 DD 09/01/04 | 187,976 | 187,389 | 161,097 | ||||
FHLMC MULTICLASS MTG K006 AX1 | VAR RT 01/25/2020 DD 04/01/10 | 2,449,599 | 165,444 | 123,852 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: THE DOW CHEMICAL COMPANY EMPLOYER IDENTIFCATION NO. 38-1285128 PLAN NO. 002 APPENDIX A - UNDERLYING ASSETS FOR PACIFIC LIFE G-27523.01-000 December 31, 2013 | ||||||||
FHLMC MULTICLASS MTG K007 X1 | VAR RT 04/25/2020 DD 06/01/10 | 503,975 | 38,310 | 28,585 | ||||
FHLMC MULTICLASS MTG K008 X1 | VAR RT 06/25/2020 DD 09/01/10 | 567,838 | 58,935 | 45,455 | ||||
FIRST BOSTON MORTGAGE SE A I-O | 9.488% 05/15/2018 DD 03/01/87 | 285 | 1,906 | 26 | ||||
FIRST BOSTON MORTGAGE SE A P-O | 0.000% 05/15/2018 DD 03/01/87 | 284 | 235 | 277 | ||||
JP MORGAN MORTGAGE TRUS A2 4A1 | VAR RT 05/25/2034 DD 04/01/04 | 114,979 | 113,740 | 110,947 | ||||
MASTR ADJUSTABLE RATE M 15 1A1 | VAR RT 12/25/2034 DD 11/01/04 | 25,038 | 24,881 | 24,685 | ||||
MERRILL LYNCH MORTGAGE A1 2A1 | VAR RT 02/25/2034 DD 02/01/04 | 299,016 | 266,685 | 298,032 | ||||
NCUA GUARANTEED NOTES TR C1 A2 | 2.900% 10/29/2020 DD 11/10/10 | 20,000 | 20,329 | 20,660 | ||||
NORTHSTAR EDU FIN INC DE | VAR RT 01/29/2046 DD 03/13/07 | 300,000 | 246,000 | 274,366 | ||||
SOUNDVIEW HOME LOAN TRUST 3 M2 | VAR RT 06/25/2035 DD 07/14/05 | 157,858 | 148,584 | 155,803 | ||||
THORNBURG MORTGAGE SECUR 4 2A1 | VAR RT 09/25/2037 DD 08/01/07 | 206,712 | 205,964 | 203,051 | ||||
COMMIT TO PUR FNMA SF MTG | 3.500% 01/01/2044 DD 01/01/14 | 1,000,000 | (999,375 | ) | (999,375 | ) | ||
COMMIT TO PUR FNMA SF MTG | 4.000% 01/01/2044 DD 01/01/14 | 3,000,000 | (3,097,617 | ) | (3,097,617 | ) | ||
FHLMC POOL #84-6183 | VAR RT 01/01/2024 DD 10/01/95 | (649 | ) | 649 | 649 | |||
FHLMC POOL #1G-1744 | VAR RT 08/01/2035 DD 09/01/05 | (12,997 | ) | 12,997 | 12,997 | |||
FHLMC MULTICLASS MTG 6 C | 9.050% 06/15/2019 DD 05/15/88 | (237 | ) | 237 | 237 | |||
FHLMC POOL #78-0605 | VAR RT 06/01/2033 DD 06/01/03 | (3,069 | ) | 3,069 | 3,069 | |||
COMMIT TO PUR FNMA SF MTG | 2.500% 01/01/2029 DD 01/01/14 | 1,000,000 | (995,625 | ) | (995,625 | ) | ||
COMMIT TO PUR FNMA SF MTG | 3.500% 01/01/2044 DD 01/01/14 | 1,000,000 | (994,844 | ) | (994,844 | ) | ||
COMMIT TO PUR FNMA SF MTG | 3.500% 01/01/2044 DD 01/01/14 | (1,000,000 | ) | 994,844 | 994,844 | |||
COMMIT TO PUR FNMA SF MTG | 3.500% 01/01/2044 DD 01/01/14 | (1,000,000 | ) | 994,844 | 994,844 | |||
COMMIT TO PUR FNMA SF MTG | 3.500% 01/01/2044 DD 01/01/14 | (1,000,000 | ) | 994,844 | 994,844 | |||
COMMIT TO PUR FNMA SF MTG | 4.000% 01/01/2044 DD 01/01/14 | (2,000,000 | ) | 2,072,500 | 2,072,500 | |||
COMMIT TO PUR FNMA SF MTG | 4.000% 01/01/2044 DD 01/01/14 | (3,000,000 | ) | 3,093,281 | 3,093,281 | |||
COMMIT TO PUR FNMA SF MTG | 4.000% 02/01/2044 DD 02/01/14 | (3,000,000 | ) | 3,088,125 | 3,088,125 | |||
90DAY EURODOLLAR FUTURE (CME) | EXP MAR 15 | 109 | (25,825 | ) | (25,825 | ) | ||
90DAY EURODOLLAR FUTURE (CME) | EXP MAR 16 | 56 | (22,037 | ) | (22,037 | ) | ||
90DAY EURODOLLAR FUTURE (CME) | EXP JUN 15 | 119 | (33,875 | ) | (33,875 | ) | ||
90DAY EURODOLLAR FUTURE (CME) | EXP JUN 16 | 36 | (36,365 | ) | (36,365 | ) | ||
90DAY EURODOLLAR FUTURE (CME) | EXP SEP 15 | 69 | (9,524 | ) | (9,524 | ) | ||
90DAY EURODOLLAR FUTURE (CME) | EXP DEC 15 | 30 | (8,250 | ) | (8,250 | ) | ||
INTEREST BEARING CASH | TEMPORARY INVESTMENST | 5,419,028 | 5,419,028 | |||||
TOTAL UNDERLYING ASSETS | 265,363,762 | 262,688,193 | ||||||
ADJUSTMENT FROM MARKET TO CONTRACT VALUE | (6,465,781 | ) | ||||||
CONTRACT VALUE | 256,222,412 | |||||||
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX B - UNDERLYING ASSETS FOR ING LIFE #60090 December 31, 2013 | ||||||||
(c) | ||||||||
(b) | Face Value | (e) | ||||||
Identity of Issue, Borrower, | or Number | (d) | Current | |||||
(a) | Lessor or Similar Party | of Shares | Cost | Value | ||||
AMERIQUEST MORTGAGE SEC AR2 M1 | VAR RT 05/25/2033 DD 05/14/03 | 8,012 | 8,012 | 7,205 | ||||
ASSET BACKED SECURITIES HE3 M1 | VAR RT 06/15/2033 DD 06/03/03 | 15,957 | 15,942 | 15,062 | ||||
ASSET BACKED SECURITIES HE4 M2 | VAR RT 08/15/2033 DD 08/06/03 | 9,818 | 9,818 | 8,399 | ||||
CDC MORTGAGE CAPITAL TR HE1 M1 | VAR RT 08/25/2033 DD 03/28/03 | 9,270 | 9,212 | 8,726 | ||||
CDC MORTGAGE CAPITAL TR HE2 M1 | VAR RT 10/25/2033 DD 05/29/03 | 11,026 | 11,032 | 10,263 | ||||
CDC MORTGAGE CAPITAL TR HE3 M1 | VAR RT 03/25/2033 DD 11/27/02 | 6,982 | 6,992 | 6,543 | ||||
CHL MORTGAGE PASS-THROU 25 2A1 | 5.500% 11/27/2017 DD 10/01/02 | 2,132 | 2,170 | 2,198 | ||||
COUNTRYWIDE ASSET-BACKED 5 MV1 | VAR RT 03/25/2033 DD 12/30/02 | 2,539 | 2,572 | 2,480 | ||||
FEDERAL HOME LN MTG CORP | 1.000% 03/08/2017 DD 01/30/12 | 1,000,000 | 997,496 | 1,001,630 | ||||
FEDERAL NATL MTG ASSN | .500% 03/30/2016 DD 02/15/13 | 1,000,000 | 1,001,522 | 998,920 | ||||
FHLMC POOL #E7-6434 | 5.000% 05/01/2014 DD 04/01/99 | 80 | 80 | 84 | ||||
FHLMC POOL #E7-7225 | 5.000% 05/01/2014 DD 06/01/99 | 143 | 144 | 152 | ||||
FNMA POOL #0025394 | 6.000% 09/01/2016 DD 08/01/01 | 5,481 | 5,690 | 5,703 | ||||
FNMA POOL #0323743 | 5.000% 04/01/2014 DD 04/01/99 | 18 | 18 | 19 | ||||
FNMA POOL #0535168 | 5.500% 12/01/2014 DD 01/01/00 | 269 | 273 | 286 | ||||
FNMA POOL #0535241 | 5.000% 03/01/2014 DD 03/01/00 | 2 | 2 | 2 | ||||
FNMA POOL #0535978 | 5.500% 12/01/2014 DD 05/01/01 | 45 | 46 | 48 | ||||
FNMA POOL #0545616 | 6.500% 04/01/2017 DD 04/01/02 | 3,558 | 3,739 | 3,751 | ||||
FNMA POOL #0545728 | 5.500% 09/01/2014 DD 05/01/02 | 49 | 50 | 51 | ||||
FNMA POOL #0555419 | 6.500% 11/01/2017 DD 04/01/03 | 19,702 | 20,798 | 20,703 | ||||
FNMA POOL #0563311 | 5.500% 08/01/2014 DD 11/01/00 | 10 | 10 | 11 | ||||
FNMA POOL #0604967 | 6.000% 12/01/2016 DD 11/01/01 | 6,882 | 7,176 | 7,133 | ||||
FNMA POOL #0609540 | 6.000% 10/01/2016 DD 10/01/01 | 35 | 37 | 36 | ||||
FNMA POOL #0621074 | 6.000% 01/01/2017 DD 12/01/01 | 5,902 | 6,127 | 6,150 | ||||
FNMA POOL #0630950 | 6.500% 02/01/2017 DD 02/01/02 | 1,871 | 1,972 | 1,958 | ||||
FNMA POOL #0631043 | 6.500% 02/01/2017 DD 02/01/02 | 624 | 658 | 630 | ||||
FNMA POOL #0644768 | 6.500% 05/01/2017 DD 05/01/02 | 3,014 | 3,175 | 3,171 | ||||
FNMA POOL #0663198 | 5.500% 10/01/2017 DD 09/01/02 | 7,495 | 7,755 | 7,964 | ||||
FNMA POOL #0671380 | 6.000% 11/01/2017 DD 10/01/02 | 8,627 | 8,956 | 9,051 | ||||
GSAMP TRUST 2002-HE HE M1 | VAR RT 11/20/2032 DD 11/27/02 | 9,451 | 9,611 | 8,203 | ||||
HOME EQUITY ASSET TRUST 4 M1 | VAR RT 10/25/2033 DD 06/27/03 | 22,509 | 22,509 | 20,428 | ||||
HOME EQUITY ASSET TRUST 5 M1 | VAR RT 12/25/2033 DD 08/28/03 | 14,986 | 14,986 | 14,006 | ||||
HOME EQUITY ASSET TRUST 5 M2 | VAR RT 12/25/2033 DD 08/28/03 | 1,818 | 1,818 | 1,581 | ||||
LONG BEACH MORTGAGE LOAN 3 M1 | VAR RT 07/25/2033 DD 06/05/03 | 67,865 | 67,865 | 62,846 | ||||
MORGAN STANLEY ABS CAPI HE1 M1 | VAR RT 05/25/2033 DD 06/27/03 | 28,438 | 28,438 | 26,472 | ||||
MORGAN STANLEY ABS CAPI NC6 M1 | VAR RT 06/25/2033 DD 06/26/03 | 19,766 | 19,765 | 19,077 | ||||
MORGAN STANLEY ABS CAPI NC7 M1 | VAR RT 06/25/2033 DD 07/30/03 | 10,581 | 10,581 | 10,014 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX B - UNDERLYING ASSETS FOR ING LIFE #60090 December 31, 2013 | ||||||||
MORGAN STANLEY ABS CAPI NC7 M2 | VAR RT 06/25/2033 DD 07/30/03 | 1,065 | 1,065 | 876 | ||||
MORGAN STANLEY DEAN WIT NC5 M3 | VAR RT 10/25/2032 DD 10/29/02 | 1,553 | 1,556 | 1,031 | ||||
RAMP TRUST RZ2 A1 | VAR RT 04/25/2033 DD 03/01/03 | 6,080 | 6,071 | 5,853 | ||||
SALOMON BROTHERS MORTGAG HE1 A | VAR RT 04/25/2033 DD 04/25/03 | 587 | 587 | 556 | ||||
INTEREST BEARING CASH | TEMPORARY INVESTMENTS | 572,779 | 572,779 | |||||
Total Underlying Assets | 2,889,105 | 2,872,051 | ||||||
Adjustments From Market To Contract Value | (66,340 | ) | ||||||
Contract Value | 2,805,711 | |||||||
THE DOW CHEMICAL COMPANY EMPLOYEES SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR NEW YORK LIFE GA-29007 December 31, 2013 | ||||||||
(c) | ||||||||
(b) | Face Value | (e) | ||||||
Identity of Issue, Borrower, | or Number | (d) | Current | |||||
(a) | Lessor or Similar Party | of Shares | Cost | Value | ||||
ALTRIA GROUP INC | 4.125% 09/11/2015 DD 06/11/10 | 405,000 | 444,087 | 427,372 | ||||
ANGLO AMERICAN CAPITAL PL 144A | 9.375% 04/08/2014 DD 04/08/09 | 1,100,000 | 1,325,148 | 1,124,387 | ||||
APPLE INC | 1.000% 05/03/2018 DD 05/03/13 | 1,175,000 | 1,170,664 | 1,136,166 | ||||
BANK OF AMERICA CORP | 2.000% 01/11/2018 DD 01/11/13 | 525,000 | 524,207 | 524,071 | ||||
BANK OF NEW YORK MELLON CORP/T | 2.950% 06/18/2015 DD 06/18/10 | 1,200,000 | 1,250,448 | 1,242,240 | ||||
BARCLAYS BANK PLC | 5.000% 09/22/2016 DD 09/22/09 | 1,200,000 | 1,296,348 | 1,321,128 | ||||
BAXTER INTERNATIONAL INC | .950% 06/01/2016 DD 06/11/13 | 510,000 | 509,510 | 509,943 | ||||
BB&T CORP | 2.150% 03/22/2017 DD 03/22/12 | 1,100,000 | 1,097,613 | 1,112,155 | ||||
BEAR STEARNS COMMERCIA PW10 A4 | VAR RT 12/11/2040 DD 12/01/05 | 900,000 | 989,824 | 954,855 | ||||
BEAR STEARNS COMMERCIAL T16 A6 | VAR RT 02/13/2046 DD 11/01/04 | 850,743 | 911,326 | 869,017 | ||||
BEAR STEARNS COS LLC/THE | 5.550% 01/22/2017 DD 11/22/06 | 1,200,000 | 1,317,360 | 1,337,388 | ||||
BERKSHIRE HATHAWAY FINANCE INC | .950% 08/15/2016 DD 08/15/13 | 385,000 | 384,269 | 386,748 | ||||
BHP BILLITON FINANCE USA LTD | 5.250% 12/15/2015 DD 12/12/05 | 1,100,000 | 1,256,024 | 1,197,130 | ||||
CAPITAL ONE FINANCIAL CORP | 3.500% 06/15/2023 DD 06/06/13 | 594,000 | 588,494 | 557,594 | ||||
CATERPILLAR FINANCIAL SERVICES | 6.125% 02/17/2014 DD 02/12/09 | 1,100,000 | 1,244,100 | 1,107,711 | ||||
CFCRE COMMERCIAL MO C1 A2 144A | 3.759% 04/15/2044 DD 04/01/11 | 405,000 | 416,011 | 424,642 | ||||
CHEVRON CORP | 1.104% 12/05/2017 DD 12/05/12 | 580,000 | 580,000 | 567,234 | ||||
CITIGROUP INC | 6.010% 01/15/2015 DD 12/15/09 | 1,069,000 | 1,183,137 | 1,125,700 | ||||
COCA-COLA CO/THE | 0.750% 03/13/2015 DD 03/14/12 | 950,000 | 948,936 | 953,002 | ||||
CONOCOPHILLIPS CO | 1.050% 12/15/2017 DD 12/07/12 | 590,000 | 588,649 | 575,716 | ||||
COSTCO WHOLESALE CORP | 0.650% 12/07/2015 DD 12/07/12 | 1,225,000 | 1,223,542 | 1,227,254 | ||||
COUNTRYWIDE FINANCIAL CORP | 6.250% 05/15/2016 DD 05/16/06 | 695,000 | 698,971 | 766,933 | ||||
DIAGEO FINANCE BV | 5.300% 10/28/2015 DD 10/28/05 | 1,100,000 | 1,251,932 | 1,190,816 | ||||
FEDERAL HOME LN BK CONS BD | 1.625% 06/19/2018 DD 06/19/13 | 1,110,000 | 1,110,000 | 1,097,679 | ||||
FEDERAL HOME LN BK CONS BD | 1.800% 06/26/2018 DD 06/26/13 | 1,165,000 | 1,165,000 | 1,152,302 | ||||
FEDERAL HOME LN MTG CORP | 1.000% 08/20/2014 DD 07/26/11 | 1,040,000 | 1,047,654 | 1,045,418 | ||||
FEDERAL NATL MTG ASSN | 2.250% 03/15/2016 DD 01/18/11 | 1,130,000 | 1,188,297 | 1,171,912 | ||||
FEDERAL NATL MTG ASSN | 1.050% 08/26/2016 DD 08/26/13 | 980,000 | 980,000 | 981,107 | ||||
FHLMC POOL #C9-1385 | 4.000% 08/01/2031 DD 08/01/11 | 956,511 | 1,016,741 | 1,000,730 | ||||
FHLMC POOL #J1-1829 | 4.000% 03/01/2025 DD 03/01/10 | 383,492 | 412,972 | 408,273 | ||||
FHLMC POOL #J1-2388 | 4.000% 07/01/2025 DD 06/01/10 | 448,699 | 481,511 | 477,748 | ||||
FHLMC POOL #J1-3242 | 3.500% 10/01/2025 DD 10/01/10 | 146,891 | 154,970 | 153,567 | ||||
FHLMC POOL #J1-3503 | 3.500% 11/01/2025 DD 11/01/10 | 149,434 | 157,653 | 156,231 | ||||
FHLMC POOL #J1-3504 | 3.500% 11/01/2025 DD 11/01/10 | 99,179 | 104,634 | 103,596 | ||||
FNMA POOL #0888416 | 5.000% 09/01/2035 DD 05/01/07 | 134,925 | 145,787 | 146,990 | ||||
FNMA POOL #0AC1878 | 4.500% 09/01/2039 DD 08/01/09 | 608,996 | 662,664 | 648,806 | ||||
GENERAL ELECTRIC CAPITAL CORP | 5.400% 02/15/2017 DD 02/13/07 | 1,200,000 | 1,330,224 | 1,335,504 |
THE DOW CHEMICAL COMPANY EMPLOYEES SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR NEW YORK LIFE GA-29007 December 31, 2013 | ||||||||
GENWORTH FINANCIAL INC | 8.625% 12/15/2016 DD 12/08/09 | 500,000 | 562,500 | 593,720 | ||||
GMAC COMMERCIAL MORTGAGE C1 A4 | 4.908% 03/10/2038 DD 04/01/04 | 102,030 | 108,866 | 102,025 | ||||
GOLDMAN SACHS GROUP INC/THE | 3.625% 02/07/2016 DD 02/07/11 | 1,300,000 | 1,318,239 | 1,364,324 | ||||
GS MORTGAGE SECURITIE GG10 AAB | VAR RT 08/10/2045 DD 07/01/07 | 183,639 | 193,452 | 190,305 | ||||
HSBC BANK PLC 144A | VAR RT 01/17/2014 DD 01/19/11 | 1,100,000 | 1,099,738 | 1,074,117 | ||||
HUTCHISON WHAMPOA INTERNA 144A | 4.625% 09/11/2015 DD 09/11/09 | 1,200,000 | 1,283,904 | 1,269,864 | ||||
HYATT HOTELS CORP | 3.875% 08/15/2016 DD 08/09/11 | 1,050,000 | 1,045,496 | 1,108,685 | ||||
INTERNATIONAL BUSINESS MACHINE | 1.950% 07/22/2016 DD 07/22/11 | 250,000 | 256,198 | 256,838 | ||||
JEFFERIES GROUP LLC | 5.500% 03/15/2016 DD 03/08/04 | 500,000 | 544,325 | 540,000 | ||||
JOHN DEERE CAPITAL CORP | 2.800% 09/18/2017 DD 09/16/10 | 825,000 | 892,988 | 863,651 | ||||
JOHN DEERE CAPITAL CORP | 1.050% 10/11/2016 DD 10/11/13 | 550,000 | 549,302 | 551,584 | ||||
JPMORGAN CHASE & CO | 1.050% 02/26/2016 DD 02/26/13 | 210,000 | 209,812 | 210,357 | ||||
JPMORGAN CHASE & CO | 5.125% 09/15/2014 DD 09/15/04 | 55,000 | 58,484 | 56,665 | ||||
KELLOGG CO | 1.125% 05/15/2015 DD 05/17/12 | 375,000 | 374,561 | 377,554 | ||||
KINDER MORGAN ENERGY PARTNERS | 5.125% 11/15/2014 DD 11/12/04 | 1,000,000 | 1,103,910 | 1,038,750 | ||||
LB-UBS COMMERCIAL MORTG C6 AAB | 5.341% 09/15/2039 DD 09/11/06 | 549,838 | 585,835 | 573,371 | ||||
LB-UBS COMMERCIAL MORTGA C1 A4 | 4.568% 01/15/2031 DD 01/11/04 | 235,776 | 249,130 | 241,154 | ||||
LLOYDS BANK PLC | 2.300% 11/27/2018 DD 11/27/13 | 780,000 | 778,752 | 777,980 | ||||
MEDTRONIC INC | 1.375% 04/01/2018 DD 03/26/13 | 1,105,000 | 1,104,076 | 1,084,723 | ||||
MERCK SHARP & DOHME CORP | 4.750% 03/01/2015 DD 02/17/05 | 1,200,000 | 1,341,852 | 1,259,484 | ||||
MERRILL LYNCH MORTGAGE CKI1 A6 | VAR RT 11/12/2037 DD 12/01/05 | 817,138 | 897,958 | 867,138 | ||||
METLIFE INC | 6.750% 06/01/2016 DD 05/29/09 | 1,100,000 | 1,295,008 | 1,250,733 | ||||
MORGAN STANLEY | 6.000% 04/28/2015 DD 04/28/08 | 1,200,000 | 1,315,920 | 1,278,036 | ||||
MORGAN STANLEY CAPI C2 A2 144A | 3.476% 06/15/2044 DD 06/01/11 | 900,000 | 911,531 | 948,141 | ||||
MORGAN STANLEY CAPITAL HQ6 A4A | 4.989% 08/13/2042 DD 08/01/05 | 1,000,000 | 1,080,000 | 1,044,980 | ||||
ORACLE CORP | 5.250% 01/15/2016 DD 01/13/06 | 1,100,000 | 1,255,551 | 1,200,760 | ||||
PETROBRAS GLOBAL FINANCE | 2.000% 05/20/2016 DD 05/20/13 | 550,000 | 549,142 | 549,566 | ||||
PETROHAWK ENERGY CORP | 6.250% 06/01/2019 DD 05/20/11 | 515,000 | 576,988 | 567,530 | ||||
PHILLIPS 66 | 2.950% 05/01/2017 DD 11/01/12 | 350,000 | 349,937 | 364,137 | ||||
PRIVATE EXPORT FUNDING CORP | 1.375% 02/15/2017 DD 01/19/12 | 1,240,000 | 1,266,387 | 1,251,619 | ||||
PRIVATE EXPORT FUNDING CORP | 1.875% 07/15/2018 DD 07/16/13 | 825,000 | 823,705 | 825,454 | ||||
PUBLIC SERVICE ELECTRIC & GAS | 5.000% 08/15/2014 DD 08/19/04 | 1,100,000 | 1,195,260 | 1,130,624 | ||||
RIO TINTO FINANCE USA LTD | 8.950% 05/01/2014 DD 04/17/09 | 1,100,000 | 1,325,819 | 1,129,876 | ||||
SABMILLER HOLDINGS INC 144A | 1.850% 01/15/2015 DD 01/17/12 | 715,000 | 714,957 | 723,573 | ||||
SENIOR HOUSING PROPERTIES TRUS | 4.300% 01/15/2016 DD 01/13/11 | 650,000 | 661,044 | 677,073 | ||||
TOTAL CAPITAL SA | 3.000% 06/24/2015 DD 06/24/10 | 725,000 | 762,149 | 750,962 | ||||
U S TREASURY NOTE | .250% 10/31/2015 DD 10/31/13 | 3,420,000 | 3,416,259 | 3,415,178 | ||||
U S TREASURY NOTE | 2.500% 04/30/2015 DD 04/30/10 | 5,350,000 | 5,684,375 | 5,511,517 | ||||
U S TREASURY NOTE | 1.375% 09/30/2018 DD 09/30/11 | 2,575,000 | 2,577,213 | 2,543,611 | ||||
U S TREASURY NOTE | .750% 03/31/2018 DD 03/31/13 | 5,290,000 | 5,297,289 | 5,139,552 | ||||
U S TREASURY NOTE | 1.000% 05/31/2018 DD 05/31/13 | 2,735,000 | 2,725,812 | 2,675,186 | ||||
U S TREASURY NOTE | 0.500% 06/15/2016 DD 06/15/13 | 4,800,000 | 4,776,031 | 4,795,104 |
THE DOW CHEMICAL COMPANY EMPLOYEES SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX C - UNDERLYING ASSETS FOR NEW YORK LIFE GA-29007 December 31, 2013 | ||||||||
U S TREASURY NOTE | 1.375% 06/30/2018 DD 06/30/13 | 2,100,000 | 2,092,125 | 2,084,082 | ||||
U S TREASURY NOTE | 1.000% 09/30/2016 DD 09/30/11 | 1,570,000 | 1,570,920 | 1,583,486 | ||||
U S TREASURY NOTE | 0.875% 11/30/2016 DD 11/30/11 | 4,245,000 | 4,259,670 | 4,258,584 | ||||
U S TREASURY NOTE | 1.000% 03/31/2017 DD 03/31/12 | 2,280,000 | 2,318,920 | 2,284,993 | ||||
U S TREASURY NOTE | 0.375% 06/15/2015 DD 06/15/12 | 5,520,000 | 5,521,660 | 5,531,647 | ||||
U S TREASURY NOTE | 0.500% 07/31/2017 DD 07/31/12 | 6,885,000 | 6,846,091 | 6,740,277 | ||||
UNITEDHEALTH GROUP INC | 0.850% 10/15/2015 DD 10/22/12 | 655,000 | 654,849 | 657,620 | ||||
VERIZON COMMUNICATIONS INC | 0.700% 11/02/2015 DD 11/07/12 | 1,025,000 | 1,025,341 | 1,022,140 | ||||
VIRGIN MEDIA SECURED FINANCE P | 6.500% 01/15/2018 DD 06/15/10 | 1,200,000 | 1,320,000 | 1,243,500 | ||||
WACHOVIA BANK COMMERCIA C17 A4 | VAR RT 03/15/2042 DD 03/01/05 | 1,000,000 | 1,085,938 | 1,033,840 | ||||
INTEREST BEARING CASH | TEMPORARY INVESTMENTS | 2,067,587 | 2,067,587 | |||||
TOTAL UNDERLYING ASSETS | 113,041,563 | 111,202,322 | ||||||
ADJUSTMENT FROM MARKET TO CONTRACT VALUE | (1,972,184 | ) | ||||||
CONTRACT VALUE | 109,230,138 | |||||||
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR MONUMENTAL LIFE MDA01078TR December 31, 2013 | ||||||||
(c) | ||||||||
(b) | Face Value | (e) | ||||||
Identity of Issue, Borrower, | or Number | (d) | Current | |||||
(a) | Lessor or Similar Party | of Shares | Cost | Value | ||||
ABBVIE INC | 1.200% 11/06/2015 DD 05/06/13 | 1,335,000 | 1,334,106 | 1,348,564 | ||||
ACE INA HOLDINGS INC | 5.700% 02/15/2017 DD 02/08/07 | 770,000 | 872,587 | 863,440 | ||||
ALLTEL CORP | 7.000% 03/15/2016 DD 03/08/96 | 740,000 | 887,681 | 830,228 | ||||
AMAZON.COM INC | 1.200% 11/29/2017 DD 11/29/12 | 400,000 | 398,052 | 391,636 | ||||
AMAZON.COM INC | 0.650% 11/27/2015 DD 11/29/12 | 725,000 | 723,028 | 724,674 | ||||
AMEREN CORP | 8.875% 05/15/2014 DD 05/15/09 | 345,000 | 343,292 | 354,895 | ||||
AMERICAN EXPRESS CREDIT CORP | 1.750% 06/12/2015 DD 06/12/12 | 1,730,000 | 1,766,399 | 1,757,922 | ||||
ANHEUSER-BUSCH INBEV WORLDWIDE | 1.500% 07/14/2014 DD 07/14/11 | 450,000 | 449,987 | 452,565 | ||||
AT&T INC | 2.500% 08/15/2015 DD 07/30/10 | 915,000 | 951,390 | 939,431 | ||||
AT&T INC | 2.375% 11/27/2018 DD 11/27/13 | 1,005,000 | 1,005,000 | 1,005,864 | ||||
BAE SYSTEMS PLC 144A | 3.500% 10/11/2016 DD 10/11/11 | 305,000 | 322,132 | 318,832 | ||||
BANK OF AMERICA CORP | 5.650% 05/01/2018 DD 05/02/08 | 1,740,000 | 2,011,092 | 1,980,590 | ||||
BANK OF AMERICA CORP | 4.500% 04/01/2015 DD 03/11/10 | 830,000 | 888,432 | 868,329 | ||||
BANK OF AMERICA NA | 1.125% 11/14/2016 DD 11/14/13 | 630,000 | 629,534 | 630,718 | ||||
BANK OF NOVA SCOTIA | 0.750% 10/09/2015 DD 10/09/12 | 500,000 | 499,985 | 501,635 | ||||
BANK OF NOVA SCOTIA | 1.100% 12/13/2016 DD 12/13/13 | 985,000 | 984,714 | 989,728 | ||||
BAXTER INTERNATIONAL INC | 0.950% 06/01/2016 DD 06/11/13 | 500,000 | 499,520 | 499,945 | ||||
BB&T CORP | 2.050% 06/19/2018 DD 06/19/13 | 390,000 | 389,431 | 386,116 | ||||
BHP BILLITON FINANCE USA LTD | 1.125% 11/21/2014 DD 11/21/11 | 400,000 | 398,580 | 402,880 | ||||
BHP BILLITON FINANCE USA LTD | 1.875% 11/21/2016 DD 11/21/11 | 350,000 | 348,142 | 357,532 | ||||
BLACKROCK INC | 1.375% 06/01/2015 DD 05/25/12 | 485,000 | 484,442 | 491,072 | ||||
BP CAPITAL MARKETS PLC | 3.200% 03/11/2016 DD 03/11/11 | 1,055,000 | 1,125,400 | 1,107,834 | ||||
BP CAPITAL MARKETS PLC | 2.241% 09/26/2018 DD 09/26/13 | 780,000 | 780,000 | 782,254 | ||||
CAPITAL ONE BANK USA NA | 1.150% 11/21/2016 DD 11/21/13 | 1,475,000 | 1,474,956 | 1,468,569 | ||||
CAPITAL ONE FINANCIAL CORP | 1.000% 11/06/2015 DD 11/06/12 | 900,000 | 897,219 | 899,604 | ||||
CATERPILLAR FINANCIAL SERVICES | 5.850% 09/01/2017 DD 09/04/07 | 700,000 | 843,171 | 797,958 | ||||
CATERPILLAR INC | 1.500% 06/26/2017 DD 06/26/12 | 340,000 | 339,592 | 338,351 | ||||
CATHOLIC HEALTH INITIATIVES | 1.600% 11/01/2017 DD 10/31/12 | 1,145,000 | 1,138,587 | 1,109,791 | ||||
CHARLES SCHWAB CORP/THE | 2.200% 07/25/2018 DD 07/25/13 | 700,000 | 699,804 | 702,499 | ||||
CHEVRON CORP | 1.718% 06/24/2018 DD 06/24/13 | 570,000 | 570,000 | 567,851 | ||||
CISCO SYSTEMS INC | 1.625% 03/14/2014 DD 03/16/11 | 270,000 | 269,679 | 270,686 | ||||
CITIGROUP INC | 5.000% 09/15/2014 DD 09/16/04 | 120,000 | 123,798 | 123,418 | ||||
CITIGROUP INC | 6.010% 01/15/2015 DD 12/15/09 | 91,000 | 97,857 | 95,827 | ||||
CITIGROUP INC | 4.750% 05/19/2015 DD 05/19/10 | 166,000 | 174,778 | 174,674 | ||||
CITIGROUP INC | 4.587% 12/15/2015 DD 12/15/10 | 1,735,000 | 1,860,180 | 1,854,038 | ||||
CITIGROUP INC | 1.300% 11/15/2016 DD 11/15/13 | 940,000 | 940,132 | 936,719 | ||||
CNPC GENERAL CAPITAL LTD 144A | 1.450% 04/16/2016 DD 04/16/13 | 675,000 | 674,312 | 668,615 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR MONUMENTAL LIFE MDA01078TR December 31, 2013 | ||||||||
COVIDIEN INTERNATIONAL FINANCE | 1.350% 05/29/2015 DD 05/30/12 | 635,000 | 634,797 | 639,661 | ||||
CVS CAREMARK CORP | 1.200% 12/05/2016 DD 12/05/13 | 350,000 | 349,867 | 350,357 | ||||
DAIMLER FINANCE NORTH AME 144A | 1.250% 01/11/2016 DD 01/11/13 | 815,000 | 813,998 | 815,579 | ||||
DAYTON POWER & LIGHT CO/T 144A | 1.875% 09/15/2016 DD 09/19/13 | 445,000 | 444,244 | 448,636 | ||||
DIAGEO CAPITAL PLC | 1.500% 05/11/2017 DD 05/11/12 | 500,000 | 499,135 | 498,920 | ||||
DIGITAL REALTY TRUST LP | 4.500% 07/15/2015 DD 07/08/10 | 350,000 | 371,175 | 364,060 | ||||
DIRECTV HOLDINGS LLC / DIRECTV | 1.750% 01/15/2018 DD 01/15/13 | 110,000 | 108,523 | 107,907 | ||||
DISCOVER BANK/GREENWOOD DE | 2.000% 02/21/2018 DD 02/21/13 | 695,000 | 694,771 | 682,601 | ||||
DOMINION GAS HOLDINGS LLC 144A | 1.050% 11/01/2016 DD 10/22/13 | 625,000 | 624,775 | 623,013 | ||||
DR PEPPER SNAPPLE GROUP INC | 2.900% 01/15/2016 DD 01/11/11 | 495,000 | 497,103 | 513,736 | ||||
DUKE ENERGY CORP | 6.300% 02/01/2014 DD 01/26/09 | 850,000 | 893,265 | 853,732 | ||||
EATON CORP | 0.950% 11/02/2015 DD 11/02/13 | 400,000 | 399,652 | 401,496 | ||||
ECOLAB INC | 2.375% 12/08/2014 DD 12/08/11 | 600,000 | 599,640 | 609,396 | ||||
EXPORT-IMPORT BANK OF KOREA | 5.875% 01/14/2015 DD 07/14/09 | 760,000 | 755,638 | 798,661 | ||||
FEDERAL HOME LN MTG CORP | 1.250% 05/12/2017 DD 03/26/12 | 8,105,000 | 8,057,949 | 8,160,600 | ||||
FEDERAL NATL MTG ASSN | 0.875% 10/26/2017 DD 09/24/12 | 2,310,000 | 2,309,885 | 2,270,707 | ||||
FEDERAL NATL MTG ASSN | 0.875% 02/08/2018 DD 01/07/13 | 4,005,000 | 3,872,515 | 3,903,994 | ||||
FISCAL YEAR 2005 SECURITIZATIO | 4.930% 04/01/2020 DD 12/02/04 | 255,000 | 274,026 | 278,432 | ||||
FORD MOTOR CREDIT CO LLC | 5.000% 05/15/2018 DD 05/03/11 | 185,000 | 205,324 | 206,073 | ||||
FORD MOTOR CREDIT CO LLC | 1.500% 01/17/2017 DD 11/12/13 | 1,025,000 | 1,024,037 | 1,024,539 | ||||
FORD MOTOR CREDIT CO LLC | 2.375% 01/16/2018 DD 01/11/13 | 355,000 | 353,601 | 358,536 | ||||
FRANCE TELECOM SA | 2.125% 09/16/2015 DD 09/16/10 | 295,000 | 293,431 | 300,670 | ||||
GATX CORP | 2.500% 03/15/2019 DD 11/19/13 | 400,000 | 397,852 | 396,604 | ||||
GENERAL ELECTRIC CAPITAL CORP | 2.900% 01/09/2017 DD 01/09/12 | 1,115,000 | 1,151,929 | 1,164,027 | ||||
GENERAL ELECTRIC CAPITAL CORP | 1.625% 07/02/2015 DD 07/02/12 | 1,535,000 | 1,557,043 | 1,559,944 | ||||
GENERAL ELECTRIC CO | 0.850% 10/09/2015 DD 10/09/12 | 1,170,000 | 1,169,684 | 1,175,464 | ||||
GENZYME CORP | 3.625% 06/15/2015 DD 06/17/10 | 555,000 | 588,267 | 579,581 | ||||
GNMA GTD REMIC P/T 11-121 FA | VAR RT 03/16/2043 DD 09/16/11 | 894,630 | 897,216 | 872,533 | ||||
GOLDCORP INC | 2.125% 03/15/2018 DD 03/20/13 | 210,000 | 209,005 | 205,821 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.950% 01/18/2018 DD 01/18/08 | 245,000 | 275,610 | 278,550 | ||||
GOLDMAN SACHS GROUP INC/THE | 2.900% 07/19/2018 DD 07/19/13 | 215,000 | 215,061 | 218,799 | ||||
HALLIBURTON CO | 1.000% 08/01/2016 DD 08/05/13 | 470,000 | 469,643 | 470,780 | ||||
HARSCO CORP | 2.700% 10/15/2015 DD 09/20/10 | 630,000 | 629,395 | 639,519 | ||||
HEINEKEN NV 144A | 0.800% 10/01/2015 DD 10/10/12 | 325,000 | 324,438 | 325,091 | ||||
HOSPITALITY PROPERTIES TRUST | 7.875% 08/15/2014 DD 08/12/09 | 370,000 | 407,426 | 373,004 | ||||
HSBC USA INC | 2.375% 02/13/2015 DD 02/13/12 | 325,000 | 324,308 | 331,620 | ||||
HUNTINGTON NATIONAL BANK/THE | 1.350% 08/02/2016 DD 08/02/13 | 610,000 | 609,177 | 609,774 | ||||
HUTCHISON WHAMPOA INTERNA 144A | 4.625% 09/11/2015 DD 09/11/09 | 460,000 | 495,512 | 486,781 | ||||
JPMORGAN CHASE & CO | 1.625% 05/15/2018 DD 05/15/13 | 1,110,000 | 1,092,839 | 1,086,912 | ||||
KEYCORP | 2.300% 12/13/2018 DD 11/13/13 | 585,000 | 584,631 | 580,759 | ||||
KINROSS GOLD CORP | 3.625% 09/01/2016 DD 03/01/12 | 315,000 | 313,724 | 318,585 | ||||
KOREA DEVELOPMENT BANK/THE | 1.000% 01/22/2016 DD 01/22/13 | 290,000 | 288,594 | 287,579 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR MONUMENTAL LIFE MDA01078TR December 31, 2013 | ||||||||
KOREA GAS CORP 144A | 2.875% 07/29/2018 DD 07/29/13 | 365,000 | 363,098 | 367,632 | ||||
KRAFT FOODS GROUP INC | 6.125% 08/23/2018 DD 08/23/12 | 275,000 | 335,924 | 320,546 | ||||
LABORATORY CORP OF AMERICA HOL | 2.500% 11/01/2018 DD 11/01/13 | 810,000 | 809,320 | 798,863 | ||||
MANUFACTURERS & TRADERS TRUST | 1.450% 03/07/2018 DD 03/07/13 | 220,000 | 219,894 | 213,996 | ||||
MARSH & MCLENNAN COS INC | 2.550% 10/15/2018 DD 09/27/13 | 1,025,000 | 1,024,457 | 1,026,507 | ||||
MEXICO GOVERNMENT INTERNATIONA | 5.875% 02/17/2014 DD 02/17/09 | 405,000 | 447,120 | 406,823 | ||||
MORGAN STANLEY | 6.000% 04/28/2015 DD 04/28/08 | 830,000 | 885,444 | 883,975 | ||||
MYLAN INC/PA | 1.350% 11/29/2016 DD 11/29/13 | 255,000 | 254,850 | 254,533 | ||||
MYLAN INC/PA 144A | 7.875% 07/15/2020 DD 05/19/10 | 1,110,000 | 1,286,668 | 1,256,009 | ||||
NABISCO INC | 7.550% 06/15/2015 DD 06/15/95 | 650,000 | 781,157 | 711,789 | ||||
NCUA GUARANTEED NOTES | 1.400% 06/12/2015 DD 06/16/11 | 600,000 | 599,166 | 609,258 | ||||
NETAPP INC | 2.000% 12/15/2017 DD 12/12/12 | 300,000 | 298,482 | 298,458 | ||||
NEXTERA ENERGY CAPITAL HOLDING | 1.339% 09/01/2015 DD 08/09/13 | 500,000 | 501,825 | 503,330 | ||||
PERRIGO CO LTD 144A | 1.300% 11/08/2016 DD 11/08/13 | 545,000 | 544,439 | 543,109 | ||||
PERRIGO CO LTD 144A | 2.300% 11/08/2018 DD 11/08/13 | 515,000 | 514,274 | 508,320 | ||||
PETROBRAS INTERNATIONAL FINANC | 5.750% 01/20/2020 DD 10/30/09 | 1,325,000 | 1,384,890 | 1,363,346 | ||||
PETROFAC LTD 144A | 3.400% 10/10/2018 DD 10/10/13 | 300,000 | 298,881 | 302,145 | ||||
PETROHAWK ENERGY CORP | 6.250% 06/01/2019 DD 05/20/11 | 450,000 | 507,375 | 495,900 | ||||
PITNEY BOWES INC | 5.250% 01/15/2037 DD 11/17/06 | 55,000 | 56,925 | 58,998 | ||||
PNC BANK NA | 1.300% 10/03/2016 DD 08/23/13 | 1,535,000 | 1,533,588 | 1,543,258 | ||||
PNC FUNDING CORP | 5.250% 11/15/2015 DD 11/03/03 | 300,000 | 321,956 | 322,158 | ||||
PNC FUNDING CORP | 5.625% 02/01/2017 DD 02/08/07 | 200,000 | 229,270 | 222,000 | ||||
PRECISION CASTPARTS CORP | 0.700% 12/20/2015 DD 12/20/12 | 510,000 | 509,847 | 510,061 | ||||
PRINCIPAL FINANCIAL GROUP INC | 1.850% 11/15/2017 DD 11/16/12 | 130,000 | 129,865 | 128,825 | ||||
PROCTER & GAMBLE - ESOP | 9.360% 01/01/2021 DD 12/04/90 | 201,387 | 256,768 | 256,799 | ||||
PROVINCE OF BRITISH COLUMBIA | 2.100% 05/18/2016 DD 05/18/11 | 555,000 | 554,895 | 573,093 | ||||
PROVINCE OF ONTARIO CANADA | 1.000% 07/22/2016 DD 07/23/13 | 2,325,000 | 2,324,186 | 2,332,905 | ||||
REGIONS FINANCIAL CORP | 2.000% 05/15/2018 DD 04/30/13 | 475,000 | 473,414 | 459,947 | ||||
REYNOLDS AMERICAN INC | 1.050% 10/30/2015 DD 10/31/12 | 240,000 | 239,662 | 240,763 | ||||
RIO TINTO FINANCE USA PLC | 1.375% 06/17/2016 DD 06/19/13 | 500,000 | 498,540 | 507,785 | ||||
SABMILLER HOLDINGS INC 144A | 1.850% 01/15/2015 DD 01/17/12 | 510,000 | 509,969 | 516,115 | ||||
SOUTHWESTERN BELL TELEPHONE LP | 7.000% 07/01/2015 DD 07/01/93 | 450,000 | 531,734 | 489,924 | ||||
STHRN CALIFORNIA ST PUBLIC PWR | 6.930% 05/15/2017 DD 09/15/97 | 1,285,000 | 1,574,047 | 1,495,239 | ||||
SUNTRUST BANKS INC | 2.350% 11/01/2018 DD 10/25/13 | 525,000 | 524,554 | 522,218 | ||||
THERMO FISHER SCIENTIFIC INC | 1.300% 02/01/2017 DD 12/11/13 | 470,000 | 469,723 | 467,960 | ||||
THOMSON REUTERS CORP | 0.875% 05/23/2016 DD 05/23/13 | 385,000 | 383,968 | 382,290 | ||||
TORONTO-DOMINION BANK/THE | 2.625% 09/10/2018 DD 09/10/13 | 395,000 | 394,285 | 402,853 | ||||
TOYOTA MOTOR CREDIT CORP | 3.200% 06/17/2015 DD 06/17/10 | 260,000 | 266,609 | 270,384 | ||||
TOYOTA MOTOR CREDIT CORP | 2.000% 10/24/2018 DD 10/24/13 | 480,000 | 479,885 | 479,861 | ||||
TURKEY GOVERNMENT INTERNATIONA | 6.750% 04/03/2018 DD 10/03/07 | 265,000 | 315,350 | 287,790 | ||||
U S TREASURY NOTE | 1.250% 11/30/2018 DD 11/30/13 | 3,365,000 | 3,326,216 | 3,292,955 | ||||
U S TREASURY NOTE | 2.375% 03/31/2016 DD 03/31/09 | 2,105,000 | 2,250,870 | 2,195,789 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR MONUMENTAL LIFE MDA01078TR December 31, 2013 | ||||||||
U S TREASURY NOTE | 2.375% 08/31/2014 DD 08/31/09 | 4,980,000 | 5,214,873 | 5,053,355 | ||||
U S TREASURY NOTE | 2.375% 10/31/2014 DD 10/31/09 | 250,000 | 256,182 | 254,580 | ||||
U S TREASURY NOTE | 2.125% 11/30/2014 DD 11/30/09 | 2,355,000 | 2,457,250 | 2,396,754 | ||||
U S TREASURY NOTE | 2.250% 01/31/2015 DD 01/31/10 | 3,900,000 | 4,036,652 | 3,986,853 | ||||
U S TREASURY NOTE | 1.250% 10/31/2015 DD 10/31/10 | 6,230,000 | 6,368,154 | 6,333,169 | ||||
U S TREASURY NOTE | 1.375% 11/30/2015 DD 11/30/10 | 3,095,000 | 3,195,588 | 3,154,857 | ||||
U S TREASURY NOTE | 2.000% 04/30/2016 DD 04/30/11 | 3,955,000 | 4,173,143 | 4,091,566 | ||||
U S TREASURY NOTE | 1.500% 06/30/2016 DD 06/30/11 | 10,550,000 | 10,866,955 | 10,793,178 | ||||
U S TREASURY NOTE | 0.500% 08/15/2014 DD 08/15/11 | 1,305,000 | 1,311,892 | 1,308,054 | ||||
U S TREASURY NOTE | 1.500% 08/31/2018 DD 08/31/11 | 1,980,000 | 1,964,702 | 1,969,942 | ||||
U S TREASURY NOTE | 1.000% 09/30/2016 DD 09/30/11 | 3,730,000 | 3,752,510 | 3,762,041 | ||||
U S TREASURY NOTE | 1.000% 10/31/2016 DD 10/31/11 | 11,480,000 | 11,598,853 | 11,567,018 | ||||
U S TREASURY NOTE | 0.875% 01/31/2017 DD 01/31/12 | 4,950,000 | 5,010,956 | 4,954,653 | ||||
U S TREASURY NOTE | 1.250% 01/31/2019 DD 01/31/12 | 160,000 | 162,688 | 156,037 | ||||
U S TREASURY NOTE | 0.250% 02/15/2015 DD 02/15/12 | 935,000 | 931,311 | 935,655 | ||||
U S TREASURY NOTE | 0.375% 03/15/2015 DD 03/15/12 | 11,750,000 | 11,730,811 | 11,774,323 | ||||
U S TREASURY NOTE | 0.375% 04/15/2015 DD 04/15/12 | 1,725,000 | 1,728,571 | 1,728,968 | ||||
U S TREASURY NOTE | 0.250% 05/15/2015 DD 05/15/12 | 2,640,000 | 2,636,803 | 2,641,663 | ||||
U S TREASURY NOTE | 0.625% 05/31/2017 DD 05/31/12 | 5,395,000 | 5,363,768 | 5,324,595 | ||||
U S TREASURY NOTE | 0.375% 06/15/2015 DD 06/15/12 | 3,385,000 | 3,392,537 | 3,392,142 | ||||
U S TREASURY NOTE | 0.750% 06/30/2017 DD 06/30/12 | 4,100,000 | 4,121,621 | 4,056,745 | ||||
U S TREASURY NOTE | 0.250% 07/15/2015 DD 07/15/12 | 1,730,000 | 1,728,513 | 1,730,069 | ||||
U S TREASURY NOTE | 0.500% 07/31/2017 DD 07/31/12 | 5,545,000 | 5,514,895 | 5,428,444 | ||||
U S TREASURY NOTE | 0.250% 08/31/2014 DD 08/31/12 | 125,000 | 125,005 | 125,108 | ||||
U S TREASURY NOTE | 0.625% 09/30/2017 DD 09/30/12 | 6,850,000 | 6,833,364 | 6,707,657 | ||||
U S TREASURY NOTE | 0.250% 10/31/2014 DD 10/31/12 | 485,000 | 485,076 | 485,417 | ||||
U S TREASURY NOTE | 0.750% 10/31/2017 DD 10/31/12 | 735,000 | 738,915 | 721,682 | ||||
U S TREASURY NOTE | 0.125% 12/31/2014 DD 12/31/12 | 110,000 | 109,755 | 109,966 | ||||
U S TREASURY NOTE | 0.875% 01/31/2018 DD 01/31/13 | 5,355,000 | 5,322,996 | 5,252,934 | ||||
U S TREASURY NOTE | 0.375% 02/15/2016 DD 02/15/13 | 5,000,000 | 5,003,700 | 4,995,300 | ||||
U S TREASURY NOTE | 0.250% 02/28/2015 DD 02/28/13 | 165,000 | 164,974 | 165,104 | ||||
U S TREASURY NOTE | 0.750% 02/28/2018 DD 02/28/13 | 10,435,000 | 10,261,088 | 10,160,246 | ||||
U S TREASURY NOTE | 0.250% 03/31/2015 DD 03/31/13 | 1,220,000 | 1,220,540 | 1,220,671 | ||||
U S TREASURY NOTE | 0.750% 03/31/2018 DD 03/31/13 | 3,500,000 | 3,440,664 | 3,400,460 | ||||
U S TREASURY NOTE | 1.000% 05/31/2018 DD 05/31/13 | 4,620,000 | 4,520,020 | 4,518,961 | ||||
U S TREASURY NOTE | 0.500% 06/15/2016 DD 06/15/13 | 3,895,000 | 3,886,936 | 3,891,027 | ||||
U S TREASURY NOTE | 0.375% 06/30/2015 DD 06/30/13 | 545,000 | 545,732 | 546,128 | ||||
U S TREASURY NOTE | 0.625% 07/15/2016 DD 07/15/13 | 4,865,000 | 4,851,264 | 4,871,081 | ||||
U S TREASURY NOTE | 0.375% 08/31/2015 DD 08/31/13 | 205,000 | 204,888 | 205,312 | ||||
U S TREASURY NOTES | 0.250% 07/31/2015 DD 07/31/13 | 595,000 | 594,361 | 594,976 | ||||
UNILEVER CAPITAL CORP | 2.750% 02/10/2016 DD 02/10/11 | 230,000 | 229,765 | 239,262 | ||||
UNION BANK NA | 1.500% 09/26/2016 DD 09/26/13 | 1,425,000 | 1,421,381 | 1,441,160 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX D - UNDERLYING ASSETS FOR MONUMENTAL LIFE MDA01078TR December 31, 2013 | ||||||||
UNITEDHEALTH GROUP INC | 1.875% 11/15/2016 DD 11/10/11 | 315,000 | 312,222 | 321,558 | ||||
UNITEDHEALTH GROUP INC | 0.850% 10/15/2015 DD 10/22/12 | 305,000 | 304,930 | 306,220 | ||||
US BANCORP/MN | 1.950% 11/15/2018 DD 11/07/13 | 275,000 | 274,659 | 273,526 | ||||
VERIZON COMMUNICATIONS INC | 2.000% 11/01/2016 DD 11/03/11 | 1,200,000 | 1,223,868 | 1,224,432 | ||||
VIACOM INC | 2.500% 09/01/2018 DD 08/19/13 | 310,000 | 308,211 | 312,499 | ||||
VOLKSWAGEN INTERNATIONAL 144A | 1.150% 11/20/2015 DD 11/20/12 | 845,000 | 844,104 | 851,861 | ||||
WELLS FARGO & CO | 1.500% 07/01/2015 DD 06/27/12 | 1,230,000 | 1,227,589 | 1,247,294 | ||||
WELLS FARGO & CO | 1.250% 07/20/2016 DD 07/29/13 | 2,045,000 | 2,047,536 | 2,060,174 | ||||
XEROX CORP | 8.250% 05/15/2014 DD 05/11/09 | 230,000 | 229,959 | 236,164 | ||||
XYLEM INC/NY | 3.550% 09/20/2016 DD 03/20/12 | 235,000 | 234,551 | 246,835 | ||||
ZOETIS INC | 1.875% 02/01/2018 DD 08/01/13 | 650,000 | 649,630 | 644,657 | ||||
U S TREASURY NOTE | 1.000% 05/31/2018 DD 05/31/13 | 4,620,000 | (4,524,336 | ) | (4,524,336 | ) | ||
U S TREASURY NOTE | 0.500% 08/15/2014 DD 08/15/11 | (3,600,000 | ) | 3,615,615 | 3,615,615 | |||
IGT Invesco Short Term Bond Fund | 195,617,509 | 195,617,509 | 195,617,509 | |||||
INTEREST BEARING CASH | TEMPORARY INVESTMENTS | 2,672,512 | 2,672,512 | |||||
TOTAL UNDERLYING ASSETS | 446,007,298 | 444,546,460 | ||||||
ADJUSTMENT FROM MARKET TO CONTRACT VALUE | (12,881,574 | ) | ||||||
WRAPPER | 338,346 | |||||||
CONTRACT VALUE | 432,003,232 | |||||||
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR PRUDENTIAL GA-62233 December 31, 2013 | ||||||||
(c) | ||||||||
(b) | Face Value | (e) | ||||||
Identity of Issue, Borrower, | or Number | (d) | Current | |||||
(a) | Lessor or Similar Party | of Shares | Cost | Value | ||||
ABB TREASURY CENTER USA I 144A | 2.500% 06/15/2016 DD 06/17/11 | 830,000 | 824,754 | 853,605 | ||||
ABBVIE INC | 2.900% 11/06/2022 DD 05/06/13 | 2,180,000 | 2,165,961 | 2,037,559 | ||||
ALLY AUTO RECEIVABLES TRU 5 A2 | 0.450% 07/15/2015 DD 10/24/12 | 513,687 | 513,628 | 513,811 | ||||
ALLY AUTO RECEIVABLES TRU 5 A3 | 0.990% 11/16/2015 DD 11/16/11 | 363,559 | 363,482 | 364,279 | ||||
ALLY AUTO RECEIVABLES TRU 5 A4 | 1.750% 03/15/2016 DD 12/10/10 | 774,565 | 784,247 | 778,554 | ||||
ALLY MASTER OWNER TRUST 1 A2 | 2.150% 01/15/2016 DD 01/20/11 | 375,000 | 376,526 | 375,221 | ||||
ALLY MASTER OWNER TRUST 1 A2 | 1.440% 02/15/2017 DD 02/22/12 | 830,000 | 829,936 | 836,167 | ||||
ALLY MASTER OWNER TRUST 3 A2 | 1.810% 05/15/2016 DD 05/18/11 | 1,285,000 | 1,284,697 | 1,290,847 | ||||
ALLY MASTER OWNER TRUST 5 A | 1.540% 09/15/2019 DD 10/11/12 | 1,380,000 | 1,379,606 | 1,370,133 | ||||
AMERICAN EXPRESS CO | 7.000% 03/19/2018 DD 03/19/08 | 425,000 | 533,622 | 507,807 | ||||
AMERICAN HONDA FINANCE CORP | 2.125% 10/10/2018 DD 10/10/13 | 1,490,000 | 1,484,249 | 1,483,861 | ||||
AMGEN INC | 6.375% 06/01/2037 DD 12/01/07 | 200,000 | 248,974 | 229,372 | ||||
AMGEN INC | 5.650% 06/15/2042 DD 06/30/11 | 625,000 | 621,938 | 661,900 | ||||
AMGEN INC | 3.875% 11/15/2021 DD 11/10/11 | 2,090,000 | 2,084,148 | 2,146,827 | ||||
ANHEUSER-BUSCH INBEV FINANCE I | 2.625% 01/17/2023 DD 01/17/13 | 1,915,000 | 1,902,495 | 1,758,640 | ||||
BAE SYSTEMS PLC 144A | 4.750% 10/11/2021 DD 10/11/11 | 2,140,000 | 2,137,817 | 2,230,822 | ||||
BANK OF AMERICA CORP | 5.420% 03/15/2017 DD 03/15/07 | 1,300,000 | 1,295,986 | 1,429,207 | ||||
BANK OF AMERICA CORP | 5.490% 03/15/2019 DD 03/15/07 | 2,000,000 | 1,887,840 | 2,214,040 | ||||
BANK OF AMERICA CORP | 5.750% 12/01/2017 DD 12/04/07 | 330,000 | 347,691 | 375,576 | ||||
BANK OF AMERICA CORP | 5.650% 05/01/2018 DD 05/02/08 | 370,000 | 353,113 | 421,160 | ||||
BANK OF AMERICA NA | 6.100% 06/15/2017 DD 06/19/07 | 870,000 | 896,222 | 981,003 | ||||
BANK OF NEW YORK MELLON CORP/T | 2.100% 01/15/2019 DD 11/18/13 | 765,000 | 764,044 | 758,268 | ||||
BERKSHIRE HATHAWAY FINANCE COR | 5.400% 05/15/2018 DD 11/15/08 | 2,310,000 | 2,410,115 | 2,657,031 | ||||
BG ENERGY CAPITAL PLC 144A | 2.500% 12/09/2015 DD 12/09/10 | 305,000 | 303,252 | 314,784 | ||||
BG ENERGY CAPITAL PLC 144A | 4.000% 10/15/2021 DD 10/12/11 | 1,195,000 | 1,185,560 | 1,225,855 | ||||
BHP BILLITON FINANCE USA LTD | 3.850% 09/30/2023 DD 09/30/13 | 1,095,000 | 1,093,653 | 1,099,752 | ||||
CATERPILLAR FINANCIAL SERVICES | 7.050% 10/01/2018 DD 09/26/08 | 1,675,000 | 1,862,075 | 2,020,871 | ||||
CATERPILLAR INC | 3.900% 05/27/2021 DD 05/27/11 | 200,000 | 199,066 | 207,740 | ||||
CITIGROUP INC | 4.500% 01/14/2022 DD 11/01/11 | 1,935,000 | 2,124,185 | 2,050,539 | ||||
CITIGROUP INC | 2.500% 09/26/2018 DD 09/26/13 | 980,000 | 975,708 | 984,949 | ||||
CLOROX CO/THE | 5.950% 10/15/2017 DD 10/09/07 | 755,000 | 764,234 | 862,044 | ||||
CNH EQUIPMENT TRUST C A2 | 0.630% 01/17/2017 DD 08/29/13 | 935,000 | 934,998 | 936,000 | ||||
COCA-COLA CO/THE | 2.450% 11/01/2020 DD 11/01/13 | 1,550,000 | 1,547,815 | 1,505,531 | ||||
COCA-COLA FEMSA SAB DE CV | 2.375% 11/26/2018 DD 11/26/13 | 970,000 | 968,729 | 962,832 | ||||
COMCAST CORP | 4.950% 06/15/2016 DD 06/09/05 | 2,135,000 | 2,208,796 | 2,331,271 | ||||
COMCAST CORP | 6.500% 01/15/2017 DD 07/14/06 | 565,000 | 626,717 | 647,264 | ||||
CONAGRA FOODS INC | 1.900% 01/25/2018 DD 01/25/13 | 670,000 | 670,000 | 657,719 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR PRUDENTIAL GA-62233 December 31, 2013 | ||||||||
CVS CAREMARK CORP | 2.250% 12/05/2018 DD 12/05/13 | 1,370,000 | 1,368,452 | 1,369,603 | ||||
DAIMLER FINANCE NORTH AME 144A | 2.375% 08/01/2018 DD 08/01/13 | 1,095,000 | 1,092,284 | 1,092,580 | ||||
DETROIT EDISON SECURITIZA 1 A6 | 6.620% 03/01/2016 DD 03/09/01 | 1,842,102 | 1,937,229 | 1,918,402 | ||||
DEUTSCHE TELEKOM INTERNAT 144A | 2.250% 03/06/2017 DD 03/06/12 | 1,265,000 | 1,257,878 | 1,283,014 | ||||
DEVON ENERGY CORP | 3.250% 05/15/2022 DD 05/14/12 | 2,070,000 | 2,057,746 | 1,973,849 | ||||
DIAGEO CAPITAL PLC | 1.125% 04/29/2018 DD 04/29/13 | 1,280,000 | 1,272,704 | 1,234,035 | ||||
DIAGEO INVESTMENT CORP | 2.875% 05/11/2022 DD 05/11/12 | 1,025,000 | 1,021,290 | 977,061 | ||||
DIRECTV HOLDINGS LLC / DIRECTV | 5.875% 10/01/2019 DD 04/01/10 | 410,000 | 492,935 | 464,440 | ||||
DIRECTV HOLDINGS LLC / DIRECTV | 1.750% 01/15/2018 DD 01/15/13 | 675,000 | 673,076 | 662,155 | ||||
DOMINION RESOURCES INC/VA | 1.950% 08/15/2016 DD 08/15/11 | 370,000 | 369,911 | 376,124 | ||||
DTE ENERGY CO | 3.850% 12/01/2023 DD 11/25/13 | 955,000 | 952,947 | 942,891 | ||||
DUKE ENERGY PROGRESS INC | 3.000% 09/15/2021 DD 09/15/11 | 325,000 | 324,441 | 318,282 | ||||
ENCANA CORP | 3.900% 11/15/2021 DD 11/14/11 | 1,835,000 | 1,834,688 | 1,821,953 | ||||
FINANCING CORP STRIP | 10.700% 10/06/2017 DD 10/08/87 | 375,000 | 527,096 | 496,871 | ||||
FINANCING CORP STRIP | 0.000% 10/06/2017 DD 10/27/88 | 395,000 | 375,783 | 372,173 | ||||
FINANCING CORP STRIP | 0.000% 05/02/2017 DD 11/02/91 | 965,000 | 662,077 | 928,948 | ||||
FINANCING CORP STRIP | 0.000% 10/06/2017 DD 10/08/87 | 5,750,000 | 3,958,415 | 5,417,708 | ||||
FINANCING CORP STRIP | 0.000% 11/30/2017 DD 11/30/87 | 1,740,000 | 1,182,382 | 1,628,483 | ||||
FINANCING CORP STRIP IO | 10.350% 08/03/2018 DD 08/03/88 | 1,940,000 | 2,798,016 | 2,654,929 | ||||
FINANCING CORP STRIP PO | 0.000% 12/27/2018 DD 01/03/89 | 900,000 | 574,587 | 810,873 | ||||
FINANCING CORP STRIP PO | 0.000% 03/07/2019 DD 03/14/89 | 965,000 | 614,898 | 860,519 | ||||
FINANCING CORP STRIP PO | 0.000% 04/05/2019 DD 04/24/89 | 150,000 | 112,521 | 133,167 | ||||
FINANCING CORP STRIP PO | 0.000% 09/26/2019 DD 09/26/89 | 1,160,000 | 715,244 | 1,001,579 | ||||
FNMA POOL #0310104 | 5.500% 08/01/2037 DD 12/01/11 | 2,506,687 | 2,753,439 | 2,757,255 | ||||
FNMA POOL #0725424 | 5.500% 04/01/2034 DD 04/01/04 | 745,338 | 817,775 | 821,265 | ||||
FNMA POOL #0735676 | 5.000% 07/01/2035 DD 06/01/05 | 725,681 | 779,880 | 788,213 | ||||
FNMA POOL #0AD0248 | 5.500% 11/01/2037 DD 09/01/09 | 567,128 | 621,714 | 624,142 | ||||
FNMA POOL #0AD0719 | 5.500% 12/01/2033 DD 02/01/10 | 1,106,452 | 1,222,803 | 1,219,133 | ||||
FNMA POOL #0AL3760 | 5.500% 02/01/2038 DD 06/01/13 | 1,566,335 | 1,717,095 | 1,723,548 | ||||
FORD CREDIT AUTO OWNER TR B A3 | 0.840% 06/15/2015 DD 07/26/11 | 81,758 | 81,745 | 81,790 | ||||
FORD CREDIT AUTO OWNER TR C A2 | 0.470% 04/15/2015 DD 07/25/12 | 51,084 | 51,080 | 51,084 | ||||
FORD CREDIT AUTO OWNER TR D A2 | 0.450% 08/15/2016 DD 11/26/13 | 2,085,000 | 2,084,792 | 2,084,729 | ||||
FORD CREDIT FLOORPLAN MAS 1 A1 | 2.120% 02/15/2016 DD 02/24/11 | 1,040,000 | 1,048,158 | 1,042,246 | ||||
FORD CREDIT FLOORPLAN MAS 4 A1 | 0.740% 09/15/2016 DD 09/19/12 | 1,755,000 | 1,754,694 | 1,757,194 | ||||
FORD CREDIT FLOORPLAN MAS 5 A1 | 1.500% 09/15/2018 DD 09/17/13 | 680,000 | 679,856 | 686,032 | ||||
GENERAL ELECTRIC CAPITAL CORP | 5.300% 02/11/2021 DD 02/11/11 | 700,000 | 725,020 | 783,034 | ||||
GENERAL ELECTRIC CAPITAL CORP | 4.375% 09/16/2020 DD 09/16/10 | 750,000 | 744,128 | 812,843 | ||||
GENERAL ELECTRIC CO | 2.700% 10/09/2022 DD 10/09/12 | 1,885,000 | 1,880,570 | 1,764,360 | ||||
GOLDMAN SACHS GROUP INC/THE | 7.500% 02/15/2019 DD 02/05/09 | 480,000 | 563,731 | 584,626 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.950% 01/18/2018 DD 01/18/08 | 880,000 | 955,680 | 1,000,507 | ||||
GOLDMAN SACHS GROUP INC/THE | 6.150% 04/01/2018 DD 04/01/08 | 1,315,000 | 1,438,644 | 1,507,884 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.250% 07/27/2021 DD 07/27/11 | 1,650,000 | 1,646,344 | 1,806,486 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR PRUDENTIAL GA-62233 December 31, 2013 | ||||||||
HARLEY-DAVIDSON MOTORCYCL 2 A3 | 1.110% 09/15/2016 DD 11/09/11 | 333,787 | 334,778 | 334,444 | ||||
HEINEKEN NV 144A | 1.400% 10/01/2017 DD 10/10/12 | 475,000 | 473,433 | 466,008 | ||||
HONDA AUTO RECEIVABLES OW 4 A2 | 0.450% 04/18/2016 DD 10/30/13 | 1,550,000 | 1,549,907 | 1,549,969 | ||||
HSBC FINANCE CORP | 6.676% 01/15/2021 DD 07/15/11 | 961,000 | 893,423 | 1,104,227 | ||||
HSBC HOLDINGS PLC | 4.000% 03/30/2022 DD 03/30/12 | 530,000 | 526,544 | 544,761 | ||||
INTERNATIONAL BUSINESS MACHINE | 1.625% 05/15/2020 DD 05/07/13 | 1,730,000 | 1,717,008 | 1,622,273 | ||||
JAPAN TOBACCO INC 144A | 2.100% 07/23/2018 DD 07/23/13 | 565,000 | 564,384 | 563,435 | ||||
JPMCC COMMERCIAL MORTG LDP1 A2 | 4.625% 03/15/2046 DD 03/01/05 | 65,739 | 66,065 | 65,747 | ||||
JPMORGAN CHASE & CO | 6.000% 01/15/2018 DD 12/20/07 | 1,800,000 | 1,760,094 | 2,072,664 | ||||
JPMORGAN CHASE & CO | 4.400% 07/22/2020 DD 07/22/10 | 1,590,000 | 1,594,913 | 1,709,186 | ||||
JPMORGAN CHASE & CO | 3.450% 03/01/2016 DD 02/24/11 | 935,000 | 955,271 | 980,675 | ||||
JPMORGAN CHASE BANK NA | 6.000% 10/01/2017 DD 09/24/07 | 495,000 | 531,531 | 566,339 | ||||
KELLOGG CO | 1.750% 05/17/2017 DD 05/17/12 | 310,000 | 308,320 | 309,634 | ||||
KRAFT FOODS GROUP INC | 3.500% 06/06/2022 DD 12/06/12 | 355,000 | 351,805 | 345,979 | ||||
KROGER CO/THE | 6.400% 08/15/2017 DD 08/15/07 | 1,280,000 | 1,413,330 | 1,466,547 | ||||
LOCKHEED MARTIN CORP | 3.350% 09/15/2021 DD 09/09/11 | 1,410,000 | 1,406,193 | 1,399,002 | ||||
MASSACHUSETTS MUTUAL LIFE 144A | 8.875% 06/01/2039 DD 06/01/09 | 985,000 | 1,216,863 | 1,411,564 | ||||
MERCEDES-BENZ AUTO RECEIV 1 A3 | 0.850% 03/16/2015 DD 07/20/11 | 151,569 | 151,894 | 151,673 | ||||
METLIFE INC | 6.750% 06/01/2016 DD 05/29/09 | 830,000 | 828,033 | 943,735 | ||||
MORGAN STANLEY | 5.450% 01/09/2017 DD 01/09/07 | 750,000 | 769,883 | 831,750 | ||||
MORGAN STANLEY | 5.950% 12/28/2017 DD 12/28/07 | 670,000 | 694,864 | 765,488 | ||||
MORGAN STANLEY | 7.300% 05/13/2019 DD 05/13/09 | 255,000 | 292,464 | 309,675 | ||||
MORGAN STANLEY CAPITAL HQ4 A7 | 4.970% 04/14/2040 DD 10/01/04 | 792,806 | 823,528 | 802,494 | ||||
MOTIVA ENTERPRISES LLC 144A | 5.750% 01/15/2020 DD 01/11/10 | 505,000 | 504,010 | 573,488 | ||||
NCUA GUARANTEED NOTES TR C1 A2 | 2.900% 10/29/2020 DD 11/10/10 | 990,000 | 987,476 | 1,022,630 | ||||
NEW YORK LIFE GLOBAL FUND 144A | 2.100% 01/02/2019 DD 12/12/13 | 1,560,000 | 1,558,206 | 1,542,700 | ||||
NEWS AMERICA INC | 6.200% 12/15/2034 DD 12/03/04 | 1,050,000 | 1,050,525 | 1,162,319 | ||||
NORTHROP GRUMMAN CORP | 1.750% 06/01/2018 DD 05/31/13 | 2,095,000 | 2,089,218 | 2,043,798 | ||||
PACIFIC GAS & ELECTRIC CO | 5.625% 11/30/2017 DD 12/04/07 | 1,260,000 | 1,324,027 | 1,427,555 | ||||
PEPSICO INC | 2.750% 03/01/2023 DD 02/28/13 | 1,145,000 | 1,143,901 | 1,059,766 | ||||
PERRIGO CO LTD 144A | 2.300% 11/08/2018 DD 11/08/13 | 1,515,000 | 1,512,864 | 1,495,350 | ||||
PETROBRAS GLOBAL FINANCE | 2.000% 05/20/2016 DD 05/20/13 | 785,000 | 781,734 | 784,380 | ||||
PNC BANK NA | 1.150% 11/01/2016 DD 10/24/13 | 770,000 | 768,999 | 770,939 | ||||
PROCTER & GAMBLE - ESOP | 9.360% 01/01/2021 DD 12/04/90 | 1,006,935 | 1,278,681 | 1,283,993 | ||||
PSE&G TRANSITION FUNDING 1 A8 | 6.890% 12/15/2017 DD 01/31/01 | 1,650,000 | 1,947,000 | 1,783,898 | ||||
RAYTHEON CO | 6.400% 12/15/2018 DD 06/15/99 | 1,540,000 | 1,728,614 | 1,818,278 | ||||
RESOLUTION FDG CORP STRIP | 0.000% 07/15/2020 DD 07/15/90 | 1,550,000 | 1,369,328 | 1,293,599 | ||||
RIO TINTO FINANCE USA LTD | 3.750% 09/20/2021 DD 09/19/11 | 245,000 | 246,583 | 247,352 | ||||
RIO TINTO FINANCE USA PLC | 2.250% 12/14/2018 DD 06/19/13 | 495,000 | 490,476 | 492,560 | ||||
RSB BONDCO LLC A A3 | 5.820% 06/28/2019 DD 06/29/07 | 715,000 | 822,809 | 804,139 | ||||
SABMILLER HOLDINGS INC 144A | 3.750% 01/15/2022 DD 01/17/12 | 245,000 | 243,829 | 245,914 | ||||
SHELL INTERNATIONAL FINANCE BV | 3.400% 08/12/2023 DD 08/12/13 | 905,000 | 903,100 | 882,058 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR PRUDENTIAL GA-62233 December 31, 2013 | ||||||||
SOUTHERN CALIFORNIA EDISON CO | 3.500% 10/01/2023 DD 10/02/13 | 1,320,000 | 1,317,677 | 1,293,666 | ||||
SOUTHWESTERN ELECTRIC POWER CO | 5.875% 03/01/2018 DD 12/04/07 | 665,000 | 662,579 | 746,542 | ||||
SPECTRA ENERGY CAPITAL LLC | 8.000% 10/01/2019 DD 09/28/99 | 697,000 | 807,882 | 830,239 | ||||
STATE STREET CORP | 3.700% 11/20/2023 DD 11/19/13 | 3,035,000 | 3,027,716 | 3,011,145 | ||||
STATOIL ASA | 2.900% 11/08/2020 DD 11/08/13 | 1,490,000 | 1,489,628 | 1,480,255 | ||||
STRYKER CORP | 1.300% 04/01/2018 DD 03/25/13 | 570,000 | 567,521 | 553,698 | ||||
SUNCOR ENERGY INC | 6.100% 06/01/2018 DD 06/06/08 | 1,965,000 | 2,083,106 | 2,271,461 | ||||
THERMO FISHER SCIENTIFIC INC | 2.400% 02/01/2019 DD 12/11/13 | 785,000 | 783,399 | 777,692 | ||||
TIME WARNER CABLE INC | 8.250% 02/14/2014 DD 11/18/08 | 1,120,000 | 1,118,309 | 1,129,621 | ||||
TIME WARNER CABLE INC | 8.250% 04/01/2019 DD 03/26/09 | 355,000 | 416,639 | 415,883 | ||||
TIME WARNER CABLE INC | 5.500% 09/01/2041 DD 09/12/11 | 450,000 | 441,972 | 372,875 | ||||
TOTAL CAPITAL SA | 2.125% 08/10/2018 DD 08/12/13 | 810,000 | 809,773 | 813,143 | ||||
TOYOTA AUTO RECEIVABLES O B A2 | 0.480% 02/15/2016 DD 09/18/13 | 765,000 | 764,958 | 765,620 | ||||
TOYOTA MOTOR CREDIT CORP | 2.000% 10/24/2018 DD 10/24/13 | 1,710,000 | 1,709,590 | 1,709,504 | ||||
TSMC GLOBAL LTD 144A | 1.625% 04/03/2018 DD 04/03/13 | 1,240,000 | 1,239,169 | 1,187,474 | ||||
U S TREASURY BILL | 0.000% 02/06/2014 DD 02/07/13 | 30,160,000 | 30,157,115 | 30,157,115 | ||||
U S TREASURY BILL | 0.000% 04/03/2014 DD 04/04/13 | 3,880,000 | 3,879,420 | 3,879,420 | ||||
U S TREASURY BOND | 3.125% 11/15/2041 DD 11/15/11 | 18,730,000 | 19,178,098 | 16,178,038 | ||||
U S TREASURY BOND | 3.125% 02/15/2042 DD 02/15/12 | 19,265,000 | 20,697,568 | 16,610,090 | ||||
U S TREASURY BOND | 3.000% 05/15/2042 DD 05/15/12 | 1,855,000 | 1,893,440 | 1,555,584 | ||||
U S TREASURY BOND | 2.750% 08/15/2042 DD 08/15/12 | 8,810,000 | 8,694,720 | 6,980,515 | ||||
U S TREASURY BOND | 2.750% 11/15/2042 DD 11/15/12 | 1,420,000 | 1,303,937 | 1,122,695 | ||||
U S TREASURY BOND | 2.875% 05/15/2043 DD 05/15/13 | 11,340,000 | 9,622,589 | 9,190,730 | ||||
U S TREASURY BONDS | 3.625% 08/15/2043 DD 08/15/13 | 1,160,000 | 1,114,745 | 1,095,481 | ||||
U S TREASURY NOTE | 1.500% 12/31/2018 DD 12/31/13 | 27,275,000 | 26,960,118 | 26,968,156 | ||||
U S TREASURY NOTE | 2.375% 12/31/2020 DD 12/31/13 | 2,935,000 | 2,938,378 | 2,923,524 | ||||
U S TREASURY NOTE | 4.000% 02/15/2014 DD 02/15/04 | 25,090,000 | 25,250,944 | 25,206,669 | ||||
U S TREASURY NOTE | 1.875% 02/28/2014 DD 02/28/09 | 4,080,000 | 4,096,943 | 4,091,465 | ||||
U S TREASURY NOTE | 1.750% 03/31/2014 DD 03/31/09 | 11,325,000 | 11,377,108 | 11,370,527 | ||||
U S TREASURY NOTE | 1.250% 02/15/2014 DD 02/15/11 | 4,925,000 | 4,936,881 | 4,931,747 | ||||
U S TREASURY NOTE | 0.250% 03/31/2014 DD 03/31/12 | 13,500,000 | 13,505,968 | 13,505,265 | ||||
U S TREASURY NOTE | 2.000% 02/15/2023 DD 02/15/13 | 15,680,000 | 15,833,330 | 14,545,709 | ||||
U S TREASURY NOTE | 0.375% 06/30/2015 DD 06/30/13 | 11,570,000 | 11,567,967 | 11,593,950 | ||||
U S TREASURY NOTE | 2.500% 08/15/2023 DD 08/15/13 | 10,045,000 | 9,904,485 | 9,646,314 | ||||
U S TREASURY NOTE | 2.750% 11/15/2023 DD 11/15/13 | 565,000 | 560,263 | 552,725 | ||||
VERIZON COMMUNICATIONS INC | 3.850% 11/01/2042 DD 11/07/12 | 560,000 | 559,210 | 457,408 | ||||
VERIZON COMMUNICATIONS INC | 6.400% 09/15/2033 DD 09/18/13 | 2,945,000 | 2,942,055 | 3,387,103 | ||||
VODAFONE GROUP PLC | 2.950% 02/19/2023 DD 02/19/13 | 1,430,000 | 1,423,379 | 1,304,174 | ||||
VOLKSWAGEN AUTO LOAN ENHA 2 A2 | 0.420% 07/20/2016 DD 11/13/13 | 1,445,000 | 1,444,946 | 1,444,682 | ||||
WASTE MANAGEMENT INC | 2.600% 09/01/2016 DD 08/29/11 | 395,000 | 394,964 | 407,707 | ||||
U S TREASURY BILL | 0.000% 04/03/2014 DD 04/04/13 | 555,000 | (554,916 | ) | (554,916 | ) | ||
U S TREASURY BILL | 0.000% 04/03/2014 DD 04/04/13 | 3,325,000 | (3,324,504 | ) | (3,324,504 | ) |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX E - UNDERLYING ASSETS FOR PRUDENTIAL GA-62233 December 31, 2013 | ||||||||
U S TREASURY NOTE | 0.250% 03/31/2014 DD 03/31/12 | 555,000 | (555,618 | ) | (555,618 | ) | ||
US TREAS BD FUTURE (CBT) | EXP MAR 14 | (159 | ) | 386,320 | 386,320 | |||
US ULTRA BOND (CBT) | EXP MAR 14 | (127 | ) | 416,719 | 416,719 | |||
US 10YR TREAS NTS FUTURE (CBT) | EXP MAR 14 | (23 | ) | 59,656 | 59,656 | |||
US 5YR TREAS NTS FUTURE (CBT) | EXP MAR 14 | (77 | ) | 110,086 | 110,086 | |||
US 2YR TREASURY NTS FUT (CBT) | EXP MAR 14 | (199 | ) | 44,774 | 44,774 | |||
INTEREST BEARING CASH | TEMPORARY INVESTMENST | 13,730,442 | 13,730,442 | |||||
TOTAL UNDERLYING ASSETS | 386,466,983 | 380,549,406 | ||||||
ADJUSTMENT FROM MARKET TO CONTRACT VALUE | (15,156,407 | ) | ||||||
CONTRACT VALUE | 365,392,999 | |||||||
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
(c) | ||||||||
(b) | Face Value | (e) | ||||||
Identity of Issue, Borrower, | or Number | (d) | Current | |||||
(a) | Lessor or Similar Party | of Shares | Cost | Value | ||||
ABBVIE INC | 1.750% 11/06/2017 DD 05/06/13 | 425,000 | 424,112 | 424,273 | ||||
ABBVIE INC | 2.000% 11/06/2018 DD 05/06/13 | 325,000 | 323,287 | 321,493 | ||||
ABBVIE INC | 2.900% 11/06/2022 DD 05/06/13 | 260,000 | 258,326 | 243,012 | ||||
ALLY MASTER OWNER TRUST 1 A2 | 1.000% 02/15/2018 DD 02/21/13 | 250,000 | 249,942 | 249,800 | ||||
ALLY MASTER OWNER TRUST 4 A2 | 1.540% 09/15/2016 DD 09/21/11 | 160,000 | 161,413 | 161,021 | ||||
ALLY MASTER OWNER TRUST 5 A | 1.540% 09/15/2019 DD 10/11/12 | 525,000 | 524,850 | 521,246 | ||||
ALTRIA GROUP INC | 9.700% 11/10/2018 DD 11/10/08 | 10,000 | 13,719 | 13,144 | ||||
ALTRIA GROUP INC | 9.250% 08/06/2019 DD 02/06/09 | 98,000 | 121,850 | 129,096 | ||||
ALTRIA GROUP INC | 2.850% 08/09/2022 DD 08/09/12 | 330,000 | 329,314 | 303,838 | ||||
AMAZON.COM INC | 2.500% 11/29/2022 DD 11/29/12 | 205,000 | 203,188 | 184,793 | ||||
AMERICAN EXPRESS CO | 2.650% 12/02/2022 DD 12/03/12 | 350,000 | 320,765 | 324,685 | ||||
AMERICAN HONDA FINANCE CORP | 2.125% 10/10/2018 DD 10/10/13 | 400,000 | 398,456 | 398,352 | ||||
AMERICAN INTERNATIONAL GROUP I | 3.800% 03/22/2017 DD 03/22/12 | 35,000 | 34,929 | 37,377 | ||||
AMERICAN INTERNATIONAL GROUP I | 2.375% 08/24/2015 DD 08/23/12 | 110,000 | 109,899 | 112,358 | ||||
AMERICAN INTERNATIONAL GROUP I | 4.125% 02/15/2024 DD 10/02/13 | 195,000 | 194,877 | 193,869 | ||||
AMERICAN INTERNATIONAL GROUP I | 5.850% 01/16/2018 DD 12/12/07 | 235,000 | 233,057 | 269,557 | ||||
AMERIPRISE FINANCIAL INC | 4.000% 10/15/2023 DD 09/06/13 | 475,000 | 484,286 | 473,594 | ||||
AMGEN INC | 3.875% 11/15/2021 DD 11/10/11 | 310,000 | 309,132 | 318,429 | ||||
AMGEN INC | 2.125% 05/15/2017 DD 05/15/12 | 175,000 | 175,749 | 177,216 | ||||
ANADARKO PETROLEUM CORP | 6.375% 09/15/2017 DD 08/12/10 | 200,000 | 233,216 | 229,614 | ||||
ARI FLEET LEASE TRUST B A 144A | VAR RT 01/15/2021 DD 10/23/12 | 157,948 | 157,948 | 157,758 | ||||
AT&T INC | 3.875% 08/15/2021 DD 08/18/11 | 160,000 | 165,424 | 162,096 | ||||
BANC OF AMERICA COMMERCIA 4 A4 | 5.634% 07/10/2046 DD 08/01/06 | 435,000 | 489,056 | 471,549 | ||||
BANC OF AMERICA MERRILL L 1 A5 | VAR RT 11/10/2042 DD 04/01/05 | 445,210 | 484,427 | 461,554 | ||||
BANK OF AMERICA CORP | 5.750% 12/01/2017 DD 12/04/07 | 135,000 | 129,533 | 153,645 | ||||
BANK OF AMERICA CORP | 5.625% 07/01/2020 DD 06/22/10 | 125,000 | 127,107 | 142,839 | ||||
BANK OF AMERICA CORP | 5.875% 01/05/2021 DD 12/21/10 | 190,000 | 196,316 | 218,384 | ||||
BANK OF AMERICA CORP | 2.000% 01/11/2018 DD 01/11/13 | 245,000 | 244,630 | 244,566 | ||||
BANK OF AMERICA CORP | 2.600% 01/15/2019 DD 10/22/13 | 245,000 | 244,958 | 246,080 | ||||
BANK OF AMERICA CORP | 4.100% 07/24/2023 DD 07/23/13 | 50,000 | 51,033 | 50,212 | ||||
BANK OF TOKYO-MITSUBISHI 144A | 1.550% 09/09/2016 DD 09/09/13 | 450,000 | 449,424 | 454,212 | ||||
BARCLAYS BANK PLC 144A | 6.050% 12/04/2017 DD 12/04/07 | 785,000 | 876,089 | 877,614 | ||||
BAT INTERNATIONAL FINANCE 144A | 9.500% 11/15/2018 DD 11/21/08 | 165,000 | 163,442 | 217,287 | ||||
BEAR STEARNS COMMERCIA PW10 A4 | VAR RT 12/11/2040 DD 12/01/05 | 225,000 | 250,857 | 238,714 | ||||
BEAR STEARNS COMMERCIA PW11 A4 | VAR RT 03/11/2039 DD 03/01/06 | 490,000 | 398,431 | 527,823 | ||||
BEAR STEARNS COMMERCIA PW14 A4 | 5.201% 12/11/2038 DD 12/01/06 | 190,000 | 208,948 | 207,545 | ||||
BEAR STEARNS COMMERCIA PW16 A4 | VAR RT 06/11/2040 DD 06/01/07 | 145,000 | 165,114 | 162,607 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
BEAR STEARNS COMMERCIAL T24 A4 | 5.537% 10/12/2041 DD 10/01/06 | 140,000 | 151,397 | 153,002 | ||||
BEAR STEARNS COS LLC/THE | 6.400% 10/02/2017 DD 10/02/07 | 150,000 | 149,562 | 174,084 | ||||
BEAR STEARNS COS LLC/THE | 7.250% 02/01/2018 DD 02/01/08 | 115,000 | 143,107 | 137,698 | ||||
BNP PARIBAS SA | 2.375% 09/14/2017 DD 09/14/12 | 320,000 | 324,762 | 326,710 | ||||
BNP PARIBAS SA | 5.000% 01/15/2021 DD 01/18/11 | 230,000 | 246,052 | 252,308 | ||||
BNP PARIBAS SA | 2.400% 12/12/2018 DD 12/12/13 | 250,000 | 249,415 | 250,160 | ||||
BP CAPITAL MARKETS PLC | 1.846% 05/05/2017 DD 05/07/12 | 640,000 | 640,000 | 646,426 | ||||
BPCE SA | 2.500% 12/10/2018 DD 12/10/13 | 280,000 | 279,555 | 278,502 | ||||
BRANCH BANKING & TRUST CO | 2.300% 10/15/2018 DD 09/26/13 | 250,000 | 249,950 | 250,373 | ||||
BURLINGTON NORTHERN SANTA FE L | 3.850% 09/01/2023 DD 08/22/13 | 325,000 | 323,898 | 319,683 | ||||
CANADIAN NATIONAL RAILWAY CO | 2.850% 12/15/2021 DD 11/15/11 | 630,000 | 625,277 | 605,789 | ||||
CAPITAL ONE BANK USA NA | 3.375% 02/15/2023 DD 02/11/13 | 300,000 | 302,259 | 278,904 | ||||
CAPITAL ONE FINANCIAL CORP | 6.150% 09/01/2016 DD 08/29/06 | 350,000 | 362,737 | 391,468 | ||||
CARGILL INC 144A | 4.307% 05/14/2021 DD 05/16/11 | 564,000 | 553,557 | 585,291 | ||||
CARMAX AUTO OWNER TRUST 3 A4 | 1.490% 01/15/2019 DD 08/08/13 | 265,000 | 264,987 | 266,073 | ||||
CBS CORP | 5.750% 04/15/2020 DD 04/05/10 | 290,000 | 303,113 | 325,531 | ||||
CD 2007-CD4 COMMERCIAL CD4 A4 | 5.322% 12/11/2049 DD 03/01/07 | 435,000 | 494,065 | 476,373 | ||||
CELLCO PARTNERSHIP / VERIZON W | 8.500% 11/15/2018 DD 05/15/09 | 325,000 | 321,539 | 411,492 | ||||
CHESAPEAKE FUNDING L 1A A 144A | VAR RT 11/07/2023 DD 05/17/12 | 358,190 | 358,722 | 358,993 | ||||
CITIGROUP COMMERCIAL MOR C4 A3 | VAR RT 03/15/2049 DD 06/01/06 | 105,213 | 115,319 | 114,014 | ||||
CITIGROUP INC | 6.125% 05/15/2018 DD 05/12/08 | 345,000 | 367,566 | 399,265 | ||||
CITIGROUP INC | 8.500% 05/22/2019 DD 05/22/09 | 670,000 | 738,754 | 858,665 | ||||
CITIGROUP INC | 5.375% 08/09/2020 DD 08/09/10 | 165,000 | 191,910 | 187,711 | ||||
CITIGROUP INC | 1.700% 07/25/2016 DD 07/25/13 | 150,000 | 149,930 | 151,413 | ||||
CITIGROUP INC | 3.875% 10/25/2023 DD 10/25/13 | 495,000 | 492,955 | 486,615 | ||||
COCA-COLA ENTERPRISES INC | 3.500% 09/15/2020 DD 09/14/10 | 400,000 | 409,052 | 399,848 | ||||
COMCAST CORP | 5.700% 07/01/2019 DD 06/18/09 | 250,000 | 302,858 | 288,943 | ||||
COMM 2013-LC6 MORTGAGE LC6 A4 | 2.941% 01/10/2046 DD 01/01/13 | 175,000 | 180,238 | 163,956 | ||||
COMMERCIAL MORTGAGE PAS CR3 A3 | 2.822% 10/15/2045 DD 10/01/12 | 240,000 | 242,128 | 225,595 | ||||
COMMERCIAL MORTGAGE PASS C4 A3 | 5.467% 09/15/2039 DD 09/01/06 | 271,600 | 288,617 | 295,454 | ||||
COMMIT TO PUR FHLMC GOLD SFM | 4.000% 01/01/2044 DD 01/01/14 | 4,100,000 | 4,223,641 | 4,210,495 | ||||
COMMIT TO PUR FHLMC GOLD SFM | 6.000% 01/01/2044 DD 01/01/14 | 1,000,000 | 1,100,469 | 1,105,200 | ||||
COMMIT TO PUR FNMA SF MTG | 4.000% 01/01/2029 DD 01/01/14 | 14,300,000 | 15,234,008 | 15,152,423 | ||||
COMMIT TO PUR FNMA SF MTG | 4.500% 01/01/2044 DD 01/01/14 | 4,300,000 | 4,564,047 | 4,556,151 | ||||
COMMIT TO PUR FNMA SF MTG | 6.000% 01/01/2044 DD 01/01/14 | 6,300,000 | 6,952,641 | 6,987,582 | ||||
CONAGRA FOODS INC | 1.900% 01/25/2018 DD 01/25/13 | 55,000 | 55,000 | 53,992 | ||||
CONOCOPHILLIPS | 6.000% 01/15/2020 DD 05/21/09 | 400,000 | 478,946 | 469,248 | ||||
CONSUMERS ENERGY CO | 3.375% 08/15/2023 DD 08/09/13 | 325,000 | 324,834 | 316,362 | ||||
COX COMMUNICATIONS INC | 6.250% 06/01/2018 DD 06/05/08 | 175,000 | 206,817 | 199,603 | ||||
COX COMMUNICATIONS INC 144A | 2.950% 06/30/2023 DD 05/01/13 | 645,000 | 642,162 | 563,627 | ||||
CREDIT SUISSE FIRST BOST C1 A4 | VAR RT 02/15/2038 DD 03/01/05 | 402,856 | 433,873 | 414,382 | ||||
CVS CAREMARK CORP | 6.250% 06/01/2027 DD 05/25/07 | 75,000 | 81,024 | 87,151 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
CVS CAREMARK CORP | 2.750% 12/01/2022 DD 11/29/12 | 130,000 | 129,819 | 119,986 | ||||
DBUBS 2011-LC1 MO LC1A A3 144A | 5.002% 11/10/2046 DD 02/01/11 | 145,767 | 162,273 | 160,800 | ||||
DIRECTV HOLDINGS LLC / DIRECTV | 5.200% 03/15/2020 DD 03/11/10 | 155,000 | 170,810 | 168,790 | ||||
DIRECTV HOLDINGS LLC / DIRECTV | 4.600% 02/15/2021 DD 08/17/10 | 275,000 | 292,227 | 283,990 | ||||
DIRECTV HOLDINGS LLC / DIRECTV | 2.400% 03/15/2017 DD 03/08/12 | 425,000 | 429,568 | 432,676 | ||||
DOMINION RESOURCES INC/VA | 6.400% 06/15/2018 DD 06/17/08 | 255,000 | 254,760 | 297,378 | ||||
DUKE ENERGY CORP | 3.950% 10/15/2023 DD 10/11/13 | 70,000 | 69,857 | 70,020 | ||||
DUKE REALTY LP | 5.950% 02/15/2017 DD 08/24/06 | 30,000 | 30,450 | 33,383 | ||||
DUKE REALTY LP | 7.375% 02/15/2015 DD 08/11/09 | 195,000 | 216,771 | 208,576 | ||||
EMC CORP/MA | 1.875% 06/01/2018 DD 06/06/13 | 650,000 | 649,630 | 642,616 | ||||
ENERGY TRANSFER PARTNERS LP | 4.150% 10/01/2020 DD 09/19/13 | 400,000 | 399,316 | 405,832 | ||||
ENERGY TRANSFER PARTNERS LP | 5.950% 10/01/2043 DD 09/19/13 | 400,000 | 390,588 | 405,804 | ||||
ERAC USA FINANCE LLC 144A | 1.400% 04/15/2016 DD 10/15/12 | 60,000 | 59,904 | 60,047 | ||||
ERAC USA FINANCE LLC 144A | 2.800% 11/01/2018 DD 07/23/13 | 175,000 | 175,565 | 176,845 | ||||
EVEREST REINSURANCE HOLDINGS I | 5.400% 10/15/2014 DD 10/12/04 | 250,000 | 250,055 | 258,390 | ||||
FHLMC POOL #A4-1215 | 5.000% 11/01/2035 DD 12/01/05 | 170,349 | 163,602 | 183,645 | ||||
FHLMC POOL #A4-1297 | 5.000% 12/01/2035 DD 12/01/05 | 51,242 | 49,212 | 56,165 | ||||
FHLMC POOL #A4-1833 | 5.000% 01/01/2036 DD 01/01/06 | 77,908 | 74,822 | 84,274 | ||||
FHLMC POOL #A4-7715 | 5.000% 11/01/2035 DD 11/01/05 | 2,357 | 2,264 | 2,538 | ||||
FHLMC POOL #A7-0631 | 5.000% 12/01/2037 DD 12/01/07 | 200,143 | 191,950 | 215,464 | ||||
FHLMC POOL #A7-7292 | 5.000% 04/01/2038 DD 05/01/08 | 753,157 | 743,743 | 810,811 | ||||
FHLMC POOL #A9-6129 | 4.000% 01/01/2041 DD 12/01/10 | 4,340,979 | 4,483,757 | 4,461,875 | ||||
FHLMC POOL #B1-1979 | 5.500% 01/01/2019 DD 01/01/04 | 11,318 | 11,331 | 12,252 | ||||
FHLMC POOL #B1-5149 | 5.500% 06/01/2019 DD 06/01/04 | 17,567 | 18,187 | 18,502 | ||||
FHLMC POOL #B1-5992 | 5.500% 08/01/2019 DD 08/01/04 | 46,937 | 48,595 | 50,827 | ||||
FHLMC POOL #B1-6466 | 5.500% 09/01/2019 DD 09/01/04 | 134,277 | 134,424 | 145,364 | ||||
FHLMC POOL #E0-1216 | 5.500% 10/01/2017 DD 10/01/02 | 41,936 | 43,416 | 44,562 | ||||
FHLMC POOL #E0-1648 | 5.500% 05/01/2019 DD 05/01/04 | 6,203 | 6,422 | 6,717 | ||||
FHLMC POOL #E9-2026 | 5.500% 10/01/2017 DD 10/01/02 | 95,197 | 98,559 | 100,246 | ||||
FHLMC POOL #E9-9911 | 5.500% 10/01/2018 DD 09/01/03 | 48,727 | 50,447 | 52,011 | ||||
FHLMC POOL #G0-1940 | 5.000% 10/01/2035 DD 10/01/05 | 115,514 | 108,502 | 124,767 | ||||
FHLMC POOL #G0-4214 | 5.500% 05/01/2038 DD 04/01/08 | 436,771 | 439,774 | 476,023 | ||||
FHLMC POOL #G1-2164 | 6.500% 05/01/2017 DD 05/01/06 | 44 | 45 | 45 | ||||
FHLMC POOL #G1-2165 | 6.500% 01/01/2019 DD 05/01/06 | 820 | 832 | 860 | ||||
FHLMC MULTICLASS MTG 2684 PH | 5.000% 01/15/2033 DD 10/01/03 | 114,365 | 112,284 | 119,177 | ||||
FHLMC MULTICLASS MTG K003 A5 | 5.085% 03/25/2019 DD 06/01/09 | 175,000 | 176,749 | 197,437 | ||||
FIFTH THIRD AUTO TRUST 20 A A4 | 0.830% 04/15/2019 DD 03/28/13 | 390,000 | 389,979 | 385,269 | ||||
FNMA POOL #0252441 | 6.000% 05/01/2019 DD 04/01/99 | 11,065 | 12,056 | 12,253 | ||||
FNMA POOL #0256315 | 5.500% 07/01/2036 DD 06/01/06 | 201,454 | 197,512 | 221,342 | ||||
FNMA POOL #0693008 | 5.000% 05/01/2018 DD 05/01/03 | 3,642 | 3,655 | 3,879 | ||||
FNMA POOL #0725314 | 5.000% 04/01/2034 DD 03/01/04 | 131,933 | 125,321 | 143,542 | ||||
FNMA POOL #0726028 | 5.000% 08/01/2018 DD 07/01/03 | 24,928 | 25,018 | 26,525 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
FNMA POOL #0727187 | 5.500% 08/01/2033 DD 08/01/03 | 54,664 | 55,022 | 60,215 | ||||
FNMA POOL #0733371 | 5.000% 08/01/2018 DD 07/01/03 | 60,377 | 60,943 | 64,322 | ||||
FNMA POOL #0733655 | 5.500% 09/01/2033 DD 08/01/03 | 64,487 | 64,910 | 71,041 | ||||
FNMA POOL #0734847 | 5.500% 08/01/2033 DD 08/01/03 | 85,384 | 85,945 | 94,094 | ||||
FNMA POOL #0738499 | 5.500% 09/01/2033 DD 09/01/03 | 38,184 | 38,434 | 41,912 | ||||
FNMA POOL #0738632 | 5.000% 11/01/2018 DD 11/01/03 | 66,088 | 66,708 | 70,420 | ||||
FNMA POOL #0743133 | 5.000% 10/01/2018 DD 09/01/03 | 87,294 | 88,112 | 93,005 | ||||
FNMA POOL #0743186 | 5.000% 10/01/2018 DD 09/01/03 | 212,001 | 213,989 | 225,945 | ||||
FNMA POOL #0743859 | 5.000% 11/01/2018 DD 10/01/03 | 197,267 | 199,117 | 211,184 | ||||
FNMA POOL #0743887 | 5.000% 11/01/2018 DD 10/01/03 | 86,611 | 87,423 | 92,741 | ||||
FNMA POOL #0747866 | 5.000% 11/01/2018 DD 11/01/03 | 113,333 | 114,396 | 120,781 | ||||
FNMA POOL #0757861 | 5.000% 10/01/2018 DD 11/01/03 | 90,381 | 91,228 | 96,183 | ||||
FNMA POOL #0778421 | 5.000% 08/01/2035 DD 07/01/05 | 13,435 | 13,215 | 14,562 | ||||
FNMA POOL #0820263 | 5.000% 07/01/2035 DD 07/01/05 | 50,556 | 49,727 | 54,874 | ||||
FNMA POOL #0825951 | 5.000% 07/01/2035 DD 06/01/05 | 43,644 | 42,928 | 47,345 | ||||
FNMA POOL #0826955 | 5.000% 06/01/2035 DD 06/01/05 | 5,729 | 5,635 | 6,218 | ||||
FNMA POOL #0828523 | 5.000% 07/01/2035 DD 07/01/05 | 88,933 | 87,474 | 96,549 | ||||
FNMA POOL #0828547 | 5.000% 08/01/2035 DD 08/01/05 | 9,773 | 9,277 | 10,601 | ||||
FNMA POOL #0828678 | 5.000% 07/01/2035 DD 07/01/05 | 100,492 | 98,843 | 109,006 | ||||
FNMA POOL #0828712 | 5.000% 07/01/2035 DD 07/01/05 | 91,042 | 89,549 | 98,819 | ||||
FNMA POOL #0830996 | 5.000% 08/01/2035 DD 07/01/05 | 113,254 | 111,396 | 122,924 | ||||
FNMA POOL #0832013 | 5.000% 09/01/2035 DD 08/01/05 | 143,498 | 141,144 | 155,710 | ||||
FNMA POOL #0832878 | 5.000% 09/01/2035 DD 08/01/05 | 158,186 | 152,971 | 171,689 | ||||
FNMA POOL #0838778 | 5.000% 10/01/2035 DD 10/01/05 | 53,536 | 50,853 | 58,107 | ||||
FNMA POOL #0840377 | 5.000% 11/01/2035 DD 11/01/05 | 38,999 | 37,045 | 42,303 | ||||
FNMA POOL #0843360 | 5.000% 11/01/2035 DD 11/01/05 | 70,438 | 66,908 | 76,434 | ||||
FNMA POOL #0844018 | 5.000% 11/01/2035 DD 10/01/05 | 145,730 | 138,427 | 158,171 | ||||
FNMA POOL #0867065 | 5.000% 02/01/2036 DD 02/01/06 | 48,534 | 46,069 | 52,642 | ||||
FNMA POOL #0882022 | 5.500% 05/01/2036 DD 05/01/06 | 8,159 | 7,999 | 8,966 | ||||
FNMA POOL #0888023 | 5.500% 06/01/2036 DD 11/01/06 | 876,080 | 874,027 | 965,204 | ||||
FNMA POOL #0888120 | 5.000% 10/01/2035 DD 12/01/06 | 341,468 | 330,184 | 370,589 | ||||
FNMA POOL #0893289 | 5.500% 08/01/2036 DD 08/01/06 | 81,096 | 79,588 | 89,098 | ||||
FNMA POOL #0893363 | 5.000% 06/01/2036 DD 08/01/06 | 14,592 | 13,860 | 15,824 | ||||
FNMA POOL #0900979 | 5.500% 09/01/2036 DD 09/01/06 | 11,580 | 11,365 | 12,711 | ||||
FNMA POOL #0961876 | 5.000% 03/01/2038 DD 02/01/08 | 401,783 | 392,335 | 439,739 | ||||
FNMA POOL #0AJ5610 | 3.000% 02/01/2027 DD 02/01/12 | 2,715,382 | 2,816,785 | 2,774,686 | ||||
FNMA POOL #0AU1358 | 3.000% 07/01/2028 DD 07/01/13 | 1,159,474 | 1,202,773 | 1,185,330 | ||||
FNMA POOL #0AU8871 | 3.000% 12/01/2028 DD 11/01/13 | 1,699,948 | 1,743,775 | 1,736,820 | ||||
FORD CREDIT FLOORPLAN MAS 1 A1 | 2.120% 02/15/2016 DD 02/24/11 | 270,000 | 269,988 | 270,583 | ||||
FORD MOTOR CREDIT CO LLC | 6.625% 08/15/2017 DD 08/04/10 | 150,000 | 177,495 | 173,765 | ||||
FORD MOTOR CREDIT CO LLC | 5.875% 08/02/2021 DD 08/01/11 | 225,000 | 262,510 | 255,085 | ||||
FORD MOTOR CREDIT CO LLC | 4.250% 09/20/2022 DD 09/25/12 | 235,000 | 232,909 | 236,081 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
FREEPORT-MCMORAN COPPER & GOLD | 3.100% 03/15/2020 DD 09/15/13 | 490,000 | 477,428 | 476,050 | ||||
GENERAL ELECTRIC CAPITAL CORP | 5.550% 05/04/2020 DD 05/04/07 | 625,000 | 742,025 | 719,206 | ||||
GENERAL ELECTRIC CAPITAL CORP | 5.625% 05/01/2018 DD 04/21/08 | 275,000 | 298,378 | 315,802 | ||||
GENERAL ELECTRIC CAPITAL CORP | 5.500% 01/08/2020 DD 01/08/10 | 95,000 | 94,675 | 108,790 | ||||
GENERAL ELECTRIC CAPITAL CORP | 4.625% 01/07/2021 DD 01/07/11 | 225,000 | 237,823 | 245,351 | ||||
GENERAL ELECTRIC CAPITAL CORP | 4.650% 10/17/2021 DD 10/17/11 | 125,000 | 141,131 | 136,181 | ||||
GENERAL ELECTRIC CAPITAL CORP | 3.150% 09/07/2022 DD 09/07/12 | 335,000 | 332,880 | 324,186 | ||||
GMAC COMMERCIAL MORTGAGE C1 A4 | VAR RT 11/10/2045 DD 01/01/06 | 115,000 | 125,247 | 120,828 | ||||
GNMA POOL #0249532 | 8.500% 04/15/2018 DD 05/01/88 | 5,159 | 5,571 | 5,181 | ||||
GNMA POOL #0345910 | 6.000% 12/15/2023 DD 12/01/93 | 12,561 | 13,091 | 14,118 | ||||
GNMA POOL #0427239 | 6.000% 01/15/2028 DD 01/01/98 | 889 | 926 | 988 | ||||
GNMA POOL #0434429 | 6.500% 06/15/2014 DD 07/01/99 | 1,251 | 1,558 | 1,256 | ||||
GNMA POOL #0465541 | 6.000% 07/15/2028 DD 07/01/98 | 3,392 | 3,535 | 3,788 | ||||
GNMA POOL #0486703 | 6.000% 11/15/2028 DD 11/01/98 | 2,069 | 2,157 | 2,307 | ||||
GNMA POOL #0491289 | 6.000% 11/15/2028 DD 11/01/98 | 12,755 | 13,333 | 14,186 | ||||
GNMA POOL #0493395 | 6.500% 01/15/2014 DD 01/01/99 | 176 | 206 | 176 | ||||
GNMA POOL #0513006 | 6.500% 07/15/2014 DD 07/01/99 | 298 | 378 | 298 | ||||
GNMA POOL #0517858 | 6.500% 09/15/2014 DD 09/01/99 | 920 | 1,025 | 922 | ||||
GNMA POOL #0596613 | 6.000% 10/15/2032 DD 10/01/02 | 1,139 | 1,174 | 1,283 | ||||
GNMA POOL #0601319 | 6.000% 02/15/2033 DD 02/01/03 | 16,764 | 17,523 | 18,701 | ||||
GNMA POOL #0739896 | 4.000% 01/15/2041 DD 01/01/11 | 458,114 | 494,745 | 476,631 | ||||
GNMA POOL #0767263 | 4.000% 08/15/2041 DD 08/01/11 | 1,776,989 | 1,919,078 | 1,848,815 | ||||
GNMA POOL #0770410 | 4.000% 06/15/2041 DD 06/01/11 | 202,285 | 218,657 | 210,481 | ||||
GNMA POOL #0778693 | 4.000% 12/15/2041 DD 12/01/11 | 380,238 | 411,014 | 395,608 | ||||
GNMA POOL #0781856 | 6.000% 08/15/2034 DD 01/01/05 | 378,627 | 391,731 | 425,115 | ||||
GNMA POOL #0782071 | 7.000% 05/15/2033 DD 03/01/06 | 95,821 | 99,983 | 113,529 | ||||
GNMA II POOL #0MA1377 | 4.500% 10/20/2043 DD 10/01/13 | 1,593,790 | 1,714,383 | 1,706,806 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.950% 01/15/2027 DD 11/09/06 | 215,000 | 190,086 | 228,324 | ||||
GOLDMAN SACHS GROUP INC/THE | 6.150% 04/01/2018 DD 04/01/08 | 210,000 | 245,547 | 240,803 | ||||
GOLDMAN SACHS GROUP INC/THE | 5.750% 01/24/2022 DD 01/24/12 | 285,000 | 303,235 | 320,822 | ||||
GOLDMAN SACHS GROUP INC/THE | 2.375% 01/22/2018 DD 01/22/13 | 165,000 | 164,931 | 165,627 | ||||
GS MORTGAGE SECURITIES GC10 A5 | 2.943% 02/10/2046 DD 02/01/13 | 140,000 | 142,572 | 131,011 | ||||
GS MORTGAGE SECURITIES GC12 A4 | 3.135% 06/10/2046 DD 05/01/13 | 165,000 | 169,946 | 156,078 | ||||
GS MORTGAGE SECURITIES GG4 A4A | 4.751% 07/10/2039 DD 06/01/05 | 429,805 | 464,185 | 445,252 | ||||
HCP INC | 2.625% 02/01/2020 DD 11/19/12 | 150,000 | 149,594 | 142,979 | ||||
HCP INC | 4.250% 11/15/2023 DD 11/12/13 | 165,000 | 164,241 | 161,403 | ||||
HCP INC | 6.000% 03/01/2015 DD 02/28/03 | 95,000 | 94,471 | 100,544 | ||||
HCP INC | 6.000% 01/30/2017 DD 01/22/07 | 85,000 | 91,478 | 95,262 | ||||
HEALTH CARE REIT INC | 4.125% 04/01/2019 DD 04/03/12 | 90,000 | 97,060 | 94,766 | ||||
HEALTH CARE REIT INC | 2.250% 03/15/2018 DD 12/06/12 | 245,000 | 243,777 | 242,219 | ||||
HEINEKEN NV 144A | 1.400% 10/01/2017 DD 10/10/12 | 95,000 | 94,687 | 93,202 | ||||
HEWLETT-PACKARD CO | 4.300% 06/01/2021 DD 05/31/11 | 245,000 | 251,049 | 248,320 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
HEWLETT-PACKARD CO | 3.000% 09/15/2016 DD 09/19/11 | 475,000 | 473,974 | 494,105 | ||||
HOME DEPOT INC/THE | 2.250% 09/10/2018 DD 09/10/13 | 185,000 | 184,739 | 187,544 | ||||
HOWARD HUGHES MEDICAL INSTITUT | 3.500% 09/01/2023 DD 07/22/13 | 95,000 | 94,803 | 93,419 | ||||
HSBC BANK USA NA | 4.875% 08/24/2020 DD 08/24/10 | 300,000 | 297,243 | 323,769 | ||||
HSBC HOLDINGS PLC | 5.100% 04/05/2021 DD 04/05/11 | 365,000 | 367,372 | 405,679 | ||||
HUTCHISON WHAMPOA INTERNA 144A | 4.625% 09/11/2015 DD 09/11/09 | 450,000 | 473,490 | 476,199 | ||||
IMPERIAL TOBACCO FINANCE 144A | 2.050% 02/11/2018 DD 02/11/13 | 575,000 | 574,483 | 568,572 | ||||
INTERNATIONAL BUSINESS MACHINE | 3.375% 08/01/2023 DD 08/01/13 | 400,000 | 398,720 | 389,720 | ||||
JP MORGAN CHASE COMMER CB14 A4 | VAR RT 12/12/2044 DD 03/01/06 | 450,000 | 493,953 | 480,200 | ||||
JP MORGAN CHASE COMMER CB16 A4 | 5.552% 05/12/2045 DD 09/01/06 | 423,273 | 477,992 | 459,772 | ||||
JP MORGAN CHASE COMMERC CBX A6 | 4.899% 01/12/2037 DD 11/01/04 | 300,000 | 301,488 | 307,431 | ||||
JP MORGAN CHASE COMMERC LC9 A5 | 2.840% 12/15/2047 DD 12/01/12 | 175,000 | 178,397 | 163,637 | ||||
JPMORGAN CHASE & CO | 5.125% 09/15/2014 DD 09/15/04 | 50,000 | 53,929 | 51,514 | ||||
JPMORGAN CHASE & CO | 6.125% 06/27/2017 DD 06/27/07 | 800,000 | 828,230 | 908,656 | ||||
JPMORGAN CHASE & CO | 6.300% 04/23/2019 DD 04/23/09 | 65,000 | 79,766 | 76,716 | ||||
JPMORGAN CHASE & CO | 4.950% 03/25/2020 DD 03/25/10 | 150,000 | 149,942 | 166,355 | ||||
JPMORGAN CHASE & CO | 4.250% 10/15/2020 DD 10/21/10 | 105,000 | 103,767 | 111,304 | ||||
JPMORGAN CHASE & CO | 4.350% 08/15/2021 DD 08/10/11 | 250,000 | 248,800 | 263,480 | ||||
JPMORGAN CHASE & CO | 3.375% 05/01/2023 DD 05/01/13 | 310,000 | 292,885 | 288,920 | ||||
JPMORGAN CHASE COMMERC LDP2 A4 | 4.738% 07/15/2042 DD 06/01/05 | 400,000 | 435,203 | 416,700 | ||||
KANSAS CITY SOUTHERN DE MEXICO | 2.350% 05/15/2020 DD 05/03/13 | 300,000 | 285,963 | 279,486 | ||||
KEYCORP | 2.300% 12/13/2018 DD 11/13/13 | 285,000 | 284,820 | 282,934 | ||||
KIMCO REALTY CORP | 5.584% 11/23/2015 DD 11/21/05 | 175,000 | 175,079 | 189,513 | ||||
KIMCO REALTY CORP | 6.875% 10/01/2019 DD 09/24/09 | 160,000 | 159,744 | 190,750 | ||||
KIMCO REALTY CORP | 4.300% 02/01/2018 DD 09/03/10 | 75,000 | 74,739 | 80,696 | ||||
KINDER MORGAN ENERGY PARTNERS | 5.300% 09/15/2020 DD 05/19/10 | 225,000 | 251,642 | 248,202 | ||||
KRAFT FOODS GROUP INC | 2.250% 06/05/2017 DD 12/05/12 | 130,000 | 129,762 | 131,634 | ||||
KRAFT FOODS GROUP INC | 3.500% 06/06/2022 DD 12/06/12 | 125,000 | 123,875 | 121,824 | ||||
KROGER CO/THE | 3.850% 08/01/2023 DD 07/25/13 | 80,000 | 79,966 | 78,765 | ||||
LIBERTY PROPERTY LP | 6.625% 10/01/2017 DD 09/25/07 | 110,000 | 109,324 | 125,964 | ||||
LIBERTY PROPERTY LP | 4.125% 06/15/2022 DD 06/11/12 | 55,000 | 58,729 | 54,134 | ||||
LIBERTY PROPERTY LP | 3.375% 06/15/2023 DD 12/10/12 | 70,000 | 69,932 | 63,709 | ||||
LINCOLN NATIONAL CORP | 4.000% 09/01/2023 DD 08/16/13 | 305,000 | 302,530 | 300,995 | ||||
M&T BANK AUTO RE 13-1A A3 144A | 1.060% 11/15/2017 DD 09/19/13 | 465,000 | 464,994 | 467,725 | ||||
MARATHON OIL CORP | 2.800% 11/01/2022 DD 10/29/12 | 410,000 | 409,004 | 377,860 | ||||
MARSH & MCLENNAN COS INC | 2.300% 04/01/2017 DD 03/12/12 | 100,000 | 101,435 | 100,711 | ||||
MARSH & MCLENNAN COS INC | 4.050% 10/15/2023 DD 09/27/13 | 375,000 | 373,523 | 369,439 | ||||
MERRILL LYNCH & CO INC | 6.875% 04/25/2018 DD 04/25/08 | 1,055,000 | 1,170,308 | 1,247,400 | ||||
MERRILL LYNCH & CO INC | 5.700% 05/02/2017 DD 05/02/07 | 145,000 | 160,498 | 161,178 | ||||
METLIFE INC | VAR RT 09/15/2023 DD 09/10/13 | 255,000 | 256,275 | 260,327 | ||||
MOLSON COORS BREWING CO | 3.500% 05/01/2022 DD 05/03/12 | 25,000 | 24,912 | 24,546 | ||||
MORGAN STANLEY | 6.625% 04/01/2018 DD 04/01/08 | 875,000 | 931,108 | 1,023,829 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
MORGAN STANLEY | 5.550% 04/27/2017 DD 04/27/07 | 345,000 | 371,593 | 384,854 | ||||
MORGAN STANLEY | 4.875% 11/01/2022 DD 10/23/12 | 150,000 | 151,210 | 153,549 | ||||
MORGAN STANLEY CAPITAL HQ6 A4A | 4.989% 08/13/2042 DD 08/01/05 | 595,000 | 652,571 | 621,763 | ||||
MORGAN STANLEY CAPITAL T23 A4 | VAR RT 08/12/2041 DD 08/01/06 | 140,000 | 121,756 | 153,933 | ||||
NATIONAL RURAL UTILITIES COOPE | 3.050% 02/15/2022 DD 02/02/12 | 325,000 | 323,882 | 315,728 | ||||
NBCUNIVERSAL MEDIA LLC | 4.375% 04/01/2021 DD 04/01/11 | 300,000 | 308,210 | 317,526 | ||||
NEW YORK LIFE GLOBAL FUND 144A | 1.650% 05/15/2017 DD 02/14/12 | 625,000 | 623,881 | 625,688 | ||||
NEWS AMERICA INC | 4.500% 02/15/2021 DD 08/15/11 | 345,000 | 342,522 | 369,795 | ||||
NEWS AMERICA INC | 3.000% 09/15/2022 DD 09/14/12 | 245,000 | 243,261 | 230,312 | ||||
NEXEN INC | 6.200% 07/30/2019 DD 07/30/09 | 275,000 | 320,427 | 317,023 | ||||
NIPPON TELEGRAPH & TELEPHONE C | 1.400% 07/18/2017 DD 07/18/12 | 300,000 | 299,595 | 296,388 | ||||
NISSAN AUTO LEASE TRUST A A4 | 0.740% 10/15/2018 DD 05/23/13 | 175,000 | 174,976 | 174,960 | ||||
OBP DEPOSITOR LLC T OBP A 144A | 4.646% 07/15/2045 DD 07/01/10 | 150,000 | 157,838 | 162,669 | ||||
ONCOR ELECTRIC DELIVERY CO LLC | 4.100% 06/01/2022 DD 05/18/12 | 180,000 | 189,194 | 180,812 | ||||
ORACLE CORP | 3.625% 07/15/2023 DD 07/16/13 | 160,000 | 158,557 | 158,715 | ||||
PACIFICORP | 5.500% 01/15/2019 DD 01/08/09 | 500,000 | 589,300 | 574,195 | ||||
PENSKE TRUCK LEASING CO L 144A | 4.875% 07/11/2022 DD 07/13/12 | 155,000 | 159,446 | 159,011 | ||||
PENSKE TRUCK LEASING CO L 144A | 2.875% 07/17/2018 DD 01/17/13 | 315,000 | 316,023 | 316,852 | ||||
PEPSICO INC | 7.900% 11/01/2018 DD 10/24/08 | 33,000 | 32,920 | 41,249 | ||||
PEPSICO INC | 3.125% 11/01/2020 DD 10/26/10 | 100,000 | 99,167 | 100,115 | ||||
PEPSICO INC | 2.250% 01/07/2019 DD 07/30/13 | 405,000 | 404,550 | 406,207 | ||||
PERNOD-RICARD SA 144A | 5.750% 04/07/2021 DD 04/07/11 | 480,000 | 547,627 | 529,090 | ||||
PETROBRAS INTERNATIONAL FINANC | 5.875% 03/01/2018 DD 11/01/07 | 931,000 | 1,033,664 | 992,246 | ||||
PHILIP MORRIS INTERNATIONAL IN | 3.600% 11/15/2023 DD 11/12/13 | 325,000 | 322,650 | 314,584 | ||||
PNC BANK NA | 2.700% 11/01/2022 DD 10/22/12 | 350,000 | 321,461 | 317,265 | ||||
PNC FUNDING CORP | 5.250% 11/15/2015 DD 11/03/03 | 405,000 | 425,594 | 434,913 | ||||
PROLOGIS LP | 4.500% 08/15/2017 DD 08/09/10 | 215,000 | 212,680 | 232,204 | ||||
PRUDENTIAL FINANCIAL INC | 2.300% 08/15/2018 DD 08/15/13 | 160,000 | 159,813 | 159,053 | ||||
PRUDENTIAL FINANCIAL INC | 5.100% 08/15/2043 DD 08/15/13 | 170,000 | 169,922 | 168,837 | ||||
REALTY INCOME CORP | 6.750% 08/15/2019 DD 09/05/07 | 300,000 | 299,481 | 351,210 | ||||
ROYAL BANK OF SCOTLAND GROUP P | 2.550% 09/18/2015 DD 09/18/12 | 225,000 | 224,872 | 230,121 | ||||
ROYAL BANK OF SCOTLAND PLC/THE | 3.950% 09/21/2015 DD 09/20/10 | 75,000 | 74,845 | 78,557 | ||||
SABMILLER HOLDINGS INC 144A | 2.200% 08/01/2018 DD 08/13/13 | 200,000 | 199,506 | 199,686 | ||||
SBA TOWER TRUST 144A | 4.254% 04/15/2040 DD 04/16/10 | 375,000 | 375,000 | 379,684 | ||||
SOCIETE GENERALE SA | 2.625% 10/01/2018 DD 10/01/13 | 340,000 | 339,432 | 342,982 | ||||
SOUTHERN CALIFORNIA EDISON CO | 3.500% 10/01/2023 DD 10/02/13 | 485,000 | 484,146 | 475,324 | ||||
SOUTHWEST AIRLINES CO 2007-1 P | 6.150% 02/01/2024 DD 10/03/07 | 196,266 | 198,554 | 224,724 | ||||
STANDARD CHARTERED PLC 144A | 5.200% 01/26/2024 DD 09/26/13 | 400,000 | 399,648 | 399,196 | ||||
TELEFONICA EMISIONES SAU | 3.992% 02/16/2016 DD 02/16/11 | 75,000 | 75,226 | 78,780 | ||||
TIAA SEASONED COMMERCIAL C4 A3 | VAR RT 08/15/2039 DD 07/10/07 | 272,664 | 290,035 | 280,178 | ||||
TIME WARNER CABLE INC | 5.850% 05/01/2017 DD 04/09/07 | 270,000 | 269,376 | 294,489 | ||||
TIME WARNER CABLE INC | 8.250% 02/14/2014 DD 11/18/08 | 140,000 | 139,789 | 141,203 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
TIME WARNER CABLE INC | 4.000% 09/01/2021 DD 09/12/11 | 105,000 | 104,064 | 97,519 | ||||
TIME WARNER INC | 4.875% 03/15/2020 DD 03/11/10 | 125,000 | 124,588 | 137,010 | ||||
TIME WARNER INC | 4.750% 03/29/2021 DD 04/01/11 | 200,000 | 200,756 | 213,274 | ||||
TIME WARNER INC | 4.000% 01/15/2022 DD 10/17/11 | 240,000 | 247,934 | 243,031 | ||||
U S TREAS NT | 0.250% 10/31/2015 DD 10/31/13 | 3,425,000 | 3,421,789 | 3,420,171 | ||||
U S TREASURY BOND | 5.375% 02/15/2031 DD 02/15/01 | 500,000 | 626,406 | 612,735 | ||||
U S TREASURY NOTE | 2.000% 04/30/2016 DD 04/30/11 | 605,000 | 631,103 | 625,891 | ||||
U S TREASURY NOTE | 0.625% 07/15/2014 DD 07/15/11 | 140,000 | 139,932 | 140,388 | ||||
U S TREASURY NOTE | 0.250% 02/15/2015 DD 02/15/12 | 7,825,000 | 7,768,758 | 7,830,478 | ||||
UBS AG/STAMFORD CT | 5.875% 07/15/2016 DD 07/26/06 | 300,000 | 336,945 | 333,579 | ||||
UBS COMMERCIAL MORTGAGE C1 A3 | 3.400% 05/10/2045 DD 05/01/12 | 385,000 | 417,295 | 379,271 | ||||
UBS-BARCLAYS COMMERCIAL C2 A4 | 3.525% 05/10/2063 DD 07/01/12 | 165,000 | 175,885 | 163,096 | ||||
UBS-BARCLAYS COMMERCIAL C4 A5 | 2.850% 12/10/2045 DD 12/01/12 | 265,000 | 243,852 | 247,009 | ||||
UBS-BARCLAYS COMMERCIAL C6 A4 | 3.244% 04/10/2046 DD 04/01/13 | 170,000 | 165,386 | 162,614 | ||||
UDR INC | 3.700% 10/01/2020 DD 09/26/13 | 70,000 | 69,987 | 70,377 | ||||
UNION ELECTRIC CO | 6.400% 06/15/2017 DD 06/15/07 | 345,000 | 344,696 | 395,529 | ||||
UNITEDHEALTH GROUP INC | 6.000% 02/15/2018 DD 02/07/08 | 250,000 | 293,238 | 288,828 | ||||
US BANCORP | 2.200% 11/15/2016 DD 11/03/11 | 490,000 | 488,746 | 506,023 | ||||
US BANCORP/MN | 1.950% 11/15/2018 DD 11/07/13 | 325,000 | 324,597 | 323,258 | ||||
US TREAS-CPI INFLAT | 0.625% 02/15/2043 DD 02/15/13 | 1,244,478 | 970,061 | 956,891 | ||||
US TREAS-CPI INFLAT | 0.125% 04/15/2018 DD 04/15/13 | 8,058,020 | 8,315,947 | 8,218,536 | ||||
VENTAS REALTY LP / VENTAS CAPI | 2.000% 02/15/2018 DD 12/13/12 | 165,000 | 164,569 | 162,197 | ||||
VENTAS REALTY LP / VENTAS CAPI | 2.700% 04/01/2020 DD 03/19/13 | 225,000 | 224,870 | 215,145 | ||||
VERIZON COMMUNICATIONS INC | 8.750% 11/01/2018 DD 11/04/08 | 471,000 | 619,111 | 602,677 | ||||
VERIZON COMMUNICATIONS INC | 2.500% 09/15/2016 DD 09/18/13 | 800,000 | 799,384 | 827,232 | ||||
VERIZON COMMUNICATIONS INC | 4.500% 09/15/2020 DD 09/18/13 | 380,000 | 379,506 | 406,817 | ||||
VERIZON COMMUNICATIONS INC | 6.550% 09/15/2043 DD 09/18/13 | 385,000 | 384,550 | 450,435 | ||||
VERIZON COMMUNICATIONS INC | 7.750% 12/01/2030 DD 06/01/01 | 100,000 | 119,045 | 127,724 | ||||
VIACOM INC | 5.625% 09/15/2019 DD 08/26/09 | 135,000 | 163,027 | 153,538 | ||||
VIRGINIA ELECTRIC AND POWER CO | 2.950% 01/15/2022 DD 01/12/12 | 326,000 | 325,214 | 314,962 | ||||
WACHOVIA BANK COMMERCIA C18 A4 | 4.935% 04/15/2042 DD 05/01/05 | 275,046 | 297,855 | 285,333 | ||||
WACHOVIA CORP | 5.750% 02/01/2018 DD 01/31/08 | 675,000 | 765,909 | 778,329 | ||||
WELLPOINT INC | 2.300% 07/15/2018 DD 08/06/13 | 135,000 | 134,432 | 133,928 | ||||
WELLS FARGO & CO | 3.450% 02/13/2023 DD 02/13/13 | 125,000 | 124,926 | 118,180 | ||||
WELLS FARGO & CO | 4.125% 08/15/2023 DD 08/15/13 | 160,000 | 159,454 | 157,736 | ||||
WELLS FARGO & CO | 2.150% 01/15/2019 DD 10/28/13 | 145,000 | 144,682 | 144,546 | ||||
WFRBS COMMERCIAL MO C2 A4 144A | VAR RT 02/15/2044 DD 03/01/11 | 120,000 | 138,250 | 130,496 | ||||
WFRBS COMMERCIAL MO C3 A4 144A | 4.375% 03/15/2044 DD 06/01/11 | 360,000 | 412,547 | 378,788 | ||||
WFRBS COMMERCIAL MORTGA C11 A5 | 3.071% 03/15/2045 DD 02/01/13 | 245,000 | 252,347 | 232,147 | ||||
XSTRATA FINANCE CANADA LT 144A | VAR RT 10/23/2015 DD 10/25/12 | 325,000 | 324,896 | 329,137 | ||||
XSTRATA FINANCE CANADA LT 144A | VAR RT 10/25/2017 DD 10/25/12 | 325,000 | 324,454 | 328,689 | ||||
ZOETIS INC | 3.250% 02/01/2023 DD 08/01/13 | 680,000 | 639,540 | 636,256 |
THE DOW CHEMICAL COMPANY EMPLOYEES' SAVINGS PLAN PLAN SPONSOR: The Dow Chemical Company, Inc. EMPLOYER IDENTIFICATION NO. 38-1285128 PLAN NO. 002 APPENDIX F - UNDERLYING ASSETS FOR BANK OF TOKYO INV-DOWCHEM13-1 AND RGA RGA00036 December 31, 2013 | ||||||||
ZOETIS INC | 1.875% 02/01/2018 DD 08/01/13 | 85,000 | 84,952 | 84,301 | ||||
COMMIT TO PUR FNMA SF MTG | 4.000% 01/01/2029 DD 01/01/14 | 9,700,000 | (10,334,289 | ) | (10,334,289 | ) | ||
COMMIT TO PUR FNMA SF MTG | 4.000% 01/01/2029 DD 01/01/14 | 4,600,000 | (4,899,719 | ) | (4,899,719 | ) | ||
COMMIT TO PUR FNMA SF MTG | 4.500% 01/01/2044 DD 01/01/14 | 4,300,000 | (4,564,047 | ) | (4,564,047 | ) | ||
COMMIT TO PUR FNMA SF MTG | 6.000% 01/01/2044 DD 01/01/14 | 4,000,000 | (4,414,375 | ) | (4,414,375 | ) | ||
COMMIT TO PUR FNMA SF MTG | 6.000% 01/01/2044 DD 01/01/14 | 2,300,000 | (2,538,266 | ) | (2,538,266 | ) | ||
COMMIT TO PUR FHLMC GOLD SFM | 4.000% 01/01/2044 DD 01/01/14 | 4,100,000 | (4,223,641 | ) | (4,223,641 | ) | ||
COMMIT TO PUR FHLMC GOLD SFM | 6.000% 01/01/2044 DD 01/01/14 | 1,000,000 | (1,100,469 | ) | (1,100,469 | ) | ||
INTEREST BEARING CASH | TEMPORARY INVESTMENST | 49,301,769 | 49,301,769 | |||||
TOTAL UNDERLYING ASSETS | 161,505,679 | 162,636,832 | ||||||
BANK OF TOKYO INV-DOWCHEM13-1 - 50% of MARKET VALUE | 81,318,416 | |||||||
IGT INVESCO SHORT-TERM BOND FUND | 84,309,074 | |||||||
FAIR VALUE BANK OF TOKYO INV-DOWCHEM13-1 | 165,627,490 | |||||||
BANK OF TOKYO INV-DOWCHEM13-1 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE | (3,275,310 | ) | ||||||
BANK OF TOKYO INV-DOWCHEM13-1 - CONTRACT VALUE | 162,352,180 | |||||||
RGA RGA00036 - 50% of MARKET VALUE | 81,318,416 | |||||||
IGT INVESCO SHORT-TERM BOND FUND | 112,020,638 | |||||||
FAIR VALUE RGA RGA00036 | 193,339,054 | |||||||
RGA RGA00036 - ADJUSTMENT FROM MARKET TO CONTRACT VALUE | (2,599,767 | ) | ||||||
RGA RGA00036 - CONTRACT VALUE | 190,739,287 | |||||||