7337 E. Doubletree Ranch Rd., Scottsdale, AZ | 85258 | |
(Address of principal executive offices) | (Zip code) |
Date of fiscal year end:
|
February 28 | |
Date of reporting period:
|
August 31, 2010 |
1 | ||||||||
2 | ||||||||
4 | ||||||||
6 | ||||||||
7 | ||||||||
8 | ||||||||
9 | ||||||||
10 | ||||||||
19 | ||||||||
24 | ||||||||
25 | ||||||||
EX-99.CERT | ||||||||
EX-99.906CERT |
(1) | Total investment return at net asset value has been calculated assuming a purchase at net asset value at the beginning of each period and a sale at net asset value at the end of each period and assumes reinvestment of dividends, capital gain distributions and return of capital distributions/allocations, if any, in accordance with the provisions of the Funds dividend reinvestment plan. |
(2) | Total investment return at market value measures the change in the market value of your investment assuming reinvestment of dividends, capital gain distributions and return of capital distributions/allocations, if any, in accordance with the provisions of the Funds dividend reinvestment plan. |
1
2
Index | Description | ||
MSCI World Indexsm | An unmanaged index that measures the performance of over 1,400 securities listed on exchanges in the U.S., Europe, Canada, Australia, New Zealand and the Far East. | ||
S&P/Case-Shiller 20-City Composite Home Price Index | A composite index of the home price index for the top 20 Metropolitan Statistical Areas in the United States. The index is published monthly by Standard & Poors. | ||
S&P 500® Index | An unmanaged index that measures the performance of securities of approximately 500 large-capitalization companies whose securities are traded on major U.S. stock markets. | ||
MSCI Japan® Index | A free float-adjusted market capitalization index that is designed to measure developed market equity performance in Japan. | ||
MSCI Europe ex UK® Index | A free float-adjusted market capitalization index that is designed to measure developed market equity performance in Europe, excluding the UK. | ||
MSCI UK® Index | A free float-adjusted market capitalization index that is designed to measure developed market equity performance in the UK. | ||
Chicago Board Options Exchange BuyWrite Monthly Index (CBOE BuyWrite Monthly Index) | A passive total return index based on selling the near-term, at-the-money S&P 500® Index call option against the S&P 500® stock index portfolio each month, on the day the current contract expires. | ||
Morgan Stanley Capital International Europe, Australasia and Far East® Index (MSCI EAFE® Index) | An unmanaged index that measures the performance of securities listed on exchanges in Europe, Australasia and the Far East. It includes the reinvestment of dividends net of withholding taxes, but does not reflect fees, brokerage commissions or other expenses of investing. | ||
3
United States
|
57 | .0% | |||
Japan
|
9 | .6% | |||
United Kingdom
|
8 | .4% | |||
Germany
|
3 | .9% | |||
Australia
|
3 | .8% | |||
Switzerland
|
3 | .2% | |||
France
|
2 | .8% | |||
Netherlands
|
2 | .3% | |||
Italy
|
1 | .4% | |||
Spain
|
1 | .2% | |||
Sweden
|
1 | .2% | |||
Hong Kong
|
1 | .0% | |||
Countries less than
1.0%(1)
|
4 | .7% | |||
Other Assets and Liabilities Net*
|
(0 | .5)% | |||
Net Assets
|
100 | .0% | |||
* Includes short-term investments related to ING
Institutional Prime Money Market Fund Class I.
|
|||||
(1) Includes
fourteen countries, which each represents less than 1.0% of net
assets.
|
|||||
Portfolio holdings are subject to change daily.
|
| investing at least 80% of its managed assets in a diversified global equity portfolio; and |
| utilizing an integrated option writing strategy. |
Apple, Inc.
|
1.7 | % | |||
Chevron Corp.
|
1.5 | % | |||
McDonalds Corp.
|
1.4 | % | |||
Merck & Co., Inc.
|
1.1 | % | |||
Bristol-Myers Squibb Co.
|
1.0 | % | |||
ConocoPhillips
|
0.9 | % | |||
American Express Co.
|
0.9 | % | |||
Altria Group, Inc.
|
0.9 | % | |||
3M Co.
|
0.8 | % | |||
HSBC Holdings PLC
|
0.7 | % |
* | Excludes short-term investments related to ING Institutional |
4
* | Effective April 30, 2010, Pranay Gupta was added as a portfolio manager to the Fund and Carl Ghielen was removed as a portfolio manager to the Fund. Effective September 30, 2010, Martin Jansen was removed as a portfolio manager to the Fund. |
5
ASSETS:
|
||||
Investments in securities at value*
|
$ | 228,916,940 | ||
Short-term investments in affiliates**
|
2,243,000 | |||
Cash
|
7,523 | |||
Cash collateral for futures
|
198,000 | |||
Foreign currencies at value***
|
8,569 | |||
Receivables:
|
||||
Investment securities sold
|
1,147,248 | |||
Dividends and interest
|
686,651 | |||
Unrealized appreciation on forward foreign currency contracts
|
213,755 | |||
Prepaid expenses
|
656 | |||
Total assets
|
233,422,342 | |||
LIABILITIES:
|
||||
Payable for investment securities purchased
|
8,186 | |||
Unrealized depreciation on forward foreign currency contracts
|
3,535,270 | |||
Payable to affiliates
|
46,389 | |||
Payable for trustee fees
|
4,991 | |||
Other accrued expenses and liabilities
|
133,695 | |||
Written options, at fair valueˆ
|
2,037,794 | |||
Total liabilities
|
5,766,325 | |||
NET ASSETS (equivalent to $12.50 per share on
18,206,643 shares outstanding)
|
$ | 227,656,017 | ||
NET ASSETS WERE COMPRISED OF:
|
||||
Paid-in capital shares of beneficial interest at
$0.01 par value (unlimited shares authorized)
|
$ | 276,052,684 | ||
Distributions in excess of net investment income
|
(13,533,469 | ) | ||
Accumulated net realized loss
|
(30,267,594 | ) | ||
Net unrealized depreciation
|
(4,595,604 | ) | ||
NET ASSETS
|
$ | 227,656,017 | ||
* Cost of investments in securities
|
$ | 232,118,949 | ||
** Cost of short-term investments in affiliates
|
$ | 2,243,000 | ||
*** Cost of foreign currencies
|
$ | 8,569 | ||
ˆ Premiums received on written options
|
$ | 4,063,313 |
6
INVESTMENT INCOME:
|
||||
Dividends, net of foreign taxes
withheld*(1)
|
$ | 3,358,795 | ||
Interest, net of foreign taxes withheld*
|
8,811 | |||
Total investment income
|
3,367,606 | |||
EXPENSES:
|
||||
Investment management fees
|
894,271 | |||
Transfer agent fees
|
11,829 | |||
Administrative service fees
|
119,235 | |||
Shareholder reporting expense
|
28,573 | |||
Professional fees
|
24,611 | |||
Custody and accounting expense
|
67,543 | |||
Trustee fees
|
3,720 | |||
Miscellaneous expense
|
25,039 | |||
Total expenses
|
1,174,821 | |||
Net waived and reimbursed fees
|
(1,570 | ) | ||
Net expenses
|
1,173,251 | |||
Net investment income
|
2,194,355 | |||
REALIZED AND UNREALIZED GAIN (LOSS):
|
||||
Net realized gain on:
|
||||
Investments
|
14,772,064 | |||
Foreign currency related transactions
|
4,548,160 | |||
Futures
|
57,680 | |||
Written options
|
3,961,284 | |||
Net realized gain
|
23,339,188 | |||
Net change in unrealized appreciation or depreciation on:
|
||||
Investments
|
(25,766,293 | ) | ||
Foreign currency related transactions
|
(3,651,703 | ) | ||
Futures
|
(118,983 | ) | ||
Written options
|
1,046,220 | |||
Net change in unrealized appreciation or depreciation
|
(28,490,759 | ) | ||
Net realized and unrealized loss
|
(5,151,571 | ) | ||
Decrease in net assets resulting from operations
|
$ | (2,957,216 | ) | |
* Foreign taxes withheld
|
$ | 199,824 | ||
(1) Dividends
from affiliates
|
$ | 3,882 |
7
Six Months |
||||||||
Ended |
Year Ended |
|||||||
August 31, |
February 28, |
|||||||
2010
|
2010
|
|||||||
FROM OPERATIONS:
|
||||||||
Net investment income
|
$ | 2,194,355 | $ | 3,728,829 | ||||
Net realized gain (loss)
|
23,339,188 | (24,315,335 | ) | |||||
Net change in unrealized appreciation or depreciation
|
(28,490,759 | ) | 89,653,429 | |||||
Increase (decrease) in net assets resulting from operations
|
(2,957,216 | ) | 69,066,923 | |||||
FROM DISTRIBUTIONS TO SHAREHOLDERS:
|
||||||||
Net investment income
|
(12,830,867 | ) | | |||||
Return of capital
|
| (31,827,194 | ) | |||||
Total distributions
|
(12,830,867 | ) | (31,827,194 | ) | ||||
FROM CAPITAL SHARE TRANSACTIONS:
|
||||||||
Reinvestment of distributions
|
1,017,831 | 2,069,138 | ||||||
Cost of shares repurchased, net of commissions
|
| (1,428,482 | ) | |||||
Net increase in net assets resulting from capital share
transactions
|
1,017,831 | 640,656 | ||||||
Net increase (decrease) in net assets
|
(14,770,252 | ) | 37,880,385 | |||||
NET ASSETS:
|
||||||||
Beginning of period
|
242,426,269 | 204,545,884 | ||||||
End of period
|
$ | 227,656,017 | $ | 242,426,269 | ||||
Distributions in excess of net investment income at end of period
|
$ | (13,533,469 | ) | $ | (2,896,957 | ) | ||
8
Six Months |
Year |
Year |
Year |
Year |
October 31, |
|||||||||||||||||||||||
Ended |
Ended |
Ended |
Ended |
Ended |
2005(1)
to |
|||||||||||||||||||||||
August 31, |
February 28, |
February 28, |
February 29, |
February 28, |
February 28, |
|||||||||||||||||||||||
2010 | 2010 | 2009 | 2008 | 2007 | 2006 | |||||||||||||||||||||||
Per Share Operating
Performance:
|
||||||||||||||||||||||||||||
Net asset value, beginning of period
|
$ | 13.37 | 11.29 | 17.79 | 21.19 | 20.24 | 19.06 | (2) | ||||||||||||||||||||
Income (loss) from investment operations:
|
||||||||||||||||||||||||||||
Net investment income
|
$ | 0.12 | 0.21 | * | 0.31 | * | 0.30 | * | 0.26 | 0.06 | * | |||||||||||||||||
Net realized and unrealized gain (loss) on investments
|
$ | (0.28 | ) | 3.64 | (4.95 | ) | (0.73 | ) | 2.55 | 1.28 | ||||||||||||||||||
Total from investment operations
|
$ | (0.16 | ) | 3.85 | (4.64 | ) | (0.43 | ) | 2.81 | 1.34 | ||||||||||||||||||
Less distributions from:
|
||||||||||||||||||||||||||||
Net investment income
|
$ | 0.71 | | 0.74 | | 0.04 | 0.16 | |||||||||||||||||||||
Net realized gains on investments
|
$ | | | | 2.40 | 1.54 | | |||||||||||||||||||||
Return of capital
|
$ | | 1.77 | 1.12 | 0.57 | 0.28 | | |||||||||||||||||||||
Total distributions
|
$ | 0.71 | 1.77 | 1.86 | 2.97 | 1.86 | 0.16 | |||||||||||||||||||||
Net asset value, end of period
|
$ | 12.50 | 13.37 | 11.29 | 17.79 | 21.19 | 20.24 | |||||||||||||||||||||
Market value, end of period
|
$ | 12.96 | 14.30 | 10.42 | 16.73 | 21.11 | 18.61 | |||||||||||||||||||||
Total investment return at net asset
value(3)
|
% | (1.43 | ) | 35.81 | (26.96 | ) | (2.40 | ) | 14.81 | 7.08 | ||||||||||||||||||
Total investment return at market
value(4)
|
% | (4.45 | ) | 57.38 | (28.32 | ) | (7.87 | ) | 24.40 | (6.17 | ) | |||||||||||||||||
Ratios and Supplemental
Data:
|
||||||||||||||||||||||||||||
Net assets, end of period (000s)
|
$ | 227,656 | 242,426 | 204,546 | 324,275 | 385,433 | 365,374 | |||||||||||||||||||||
Ratios to average net assets:
|
||||||||||||||||||||||||||||
Gross expenses prior to expense
waiver(5)
|
% | 0.98 | 1.01 | 0.99 | 0.97 | 0.95 | 1.06 | |||||||||||||||||||||
Net expenses after expense
waiver(5)(6)
|
% | 0.98 | ** | 1.00 | ** | 0.99 | ** | 0.97 | ** | 0.95 | 1.00 | |||||||||||||||||
Net investment income after expense
waiver(5)(6)
|
% | 1.84 | ** | 1.61 | ** | 2.01 | ** | 1.45 | ** | 1.29 | 0.86 | |||||||||||||||||
Portfolio turnover rate
|
% | 90 | 141 | 178 | 194 | 132 | 41 | |||||||||||||||||||||
(1) | Commencement of operations. | |
(2) | Net asset value at beginning of period reflects the deduction of the sales load of $0.90 per share and offering costs of $0.04 per share paid by the shareholder from the $20.00 offering price. | |
(3) | Total investment return at net asset value has been calculated assuming a purchase at net asset value at the beginning of each period and a sale at net asset value at the end of each period and assumes reinvestment of dividends, capital gain distributions and return of capital distributions/allocations, if any, in accordance with the provisions of the dividend reinvestment plan. Total investment return at net asset value is not annualized for periods less than one year. | |
(4) | Total investment return at market value measures the change in the market value of your investment assuming reinvestment of dividends, capital gain distributions and return of capital distributions/allocations, if any, in accordance with the provisions of the Funds dividend reinvestment plan. Total investment return at market value is not annualized for periods less than one year. | |
(5) | Annualized for periods less than one year. | |
(6) | The Investment Adviser has agreed to limit expenses, (excluding interest, taxes, brokerage, extraordinary expenses and acquired fund fees and expenses) subject to possible recoupment by ING Investments, LLC within three years of being incurred. | |
* | Calculated using average number of shares outstanding throughout the period. | |
** | Impact of waiving the advisory fee for the ING Institutional Prime Money Market Fund holding has less than 0.005% impact on the expense ratio and net investment income ratio. |
9
10
(1) | Market value of investment securities, other assets and liabilities at the exchange rates prevailing at the end of the day. | |
(2) | Purchases and sales of investment securities, income and expenses at the rates of exchange prevailing on the respective dates of such transactions. |
11
12
13
14
15
August 31, | ||||||
2011 | 2012 | 2013 | Total | |||
$ | $13,763 | $11,424 | $25,187 |
Accrued |
||||
Investment |
Accrued |
|||
Management |
Administrative |
|||
Fees | Fees | Total | ||
$26,745 | $19,644 | $46,389 |
Number of |
Premiums |
|||||||
Contracts | Received | |||||||
Balance at 02/28/10
|
303,167 | $ | 3,337,062 | |||||
Options Written
|
1,973,295 | 24,898,900 | ||||||
Options Expired
|
(1,046,109 | ) | (12,538,509 | ) | ||||
Options Exercised
|
| | ||||||
Options Terminated in Closing Purchase Transactions
|
(930,404 | ) | (11,634,140 | ) | ||||
Balance at 08/31/10
|
299,949 | $ | 4,063,313 | |||||
16
Six Months |
Year |
|||||||
Ended |
Ended |
|||||||
August 31, |
February 28, |
|||||||
2010
|
2010
|
|||||||
Number of Shares
|
||||||||
Reinvestment of distributions
|
77,133 | 158,337 | ||||||
Shares repurchased
|
| (153,044 | ) | |||||
Net increase in shares outstanding
|
77,133 | 5,293 | ||||||
$
|
||||||||
Reinvestment of distributions
|
$ | 1,017,831 | $ | 2,069,138 | ||||
Shares repurchased, net of commissions
|
| (1,428,482 | ) | |||||
Net increase
|
$ | 1,017,831 | $ | 640,656 | ||||
Return |
||
of Capital
|
||
Tax Year Ended |
||
December 31, 2009 | ||
$ | 31,827,194 |
Unrealized |
Capital Loss |
Expiration |
||||||||
Appreciation
|
Carryforwards | Date | ||||||||
$ | 22,207,261 | $ | (6,687,204 | ) | 2016 | |||||
(47,317,406 | ) | 2017 | ||||||||
$ | (54,004,610 | ) | ||||||||
17
Per Share Amount
|
Declaration Date
|
Payable Date
|
Record Date
|
|||
$0.335
|
9/20/2010 | 10/15/2010 | 10/15/2010 |
18
Percent |
||||||||||||||
of Net |
||||||||||||||
Shares | Value | Assets | ||||||||||||
COMMON STOCK: 95.3%
|
||||||||||||||
Australia: 3.5% | ||||||||||||||
33,599 | BHP Billiton Ltd. | $ | 1,114,747 | 0.5 | ||||||||||
Other Securities | 6,790,622 | 3.0 | ||||||||||||
7,905,369 | 3.5 | |||||||||||||
Austria: 0.1% | ||||||||||||||
Other Securities | 268,544 | 0.1 | ||||||||||||
Barbados: 0.0% | ||||||||||||||
Other Securities | 23,520 | 0.0 | ||||||||||||
Belgium: 0.7% | ||||||||||||||
Other Securities | 1,574,613 | 0.7 | ||||||||||||
Bermuda: 0.0% | ||||||||||||||
Other Securities | 34,029 | 0.0 | ||||||||||||
Denmark: 0.6% | ||||||||||||||
Other Securities | 1,394,995 | 0.6 | ||||||||||||
Finland: 0.8% | ||||||||||||||
Other Securities | 1,832,832 | 0.8 | ||||||||||||
France: 2.8% | ||||||||||||||
Other Securities | 6,356,403 | 2.8 | ||||||||||||
Germany: 3.4% | ||||||||||||||
12,088 | Siemens AG | 1,095,752 | 0.5 | |||||||||||
Other Securities | 6,593,005 | 2.9 | ||||||||||||
7,688,757 | 3.4 | |||||||||||||
Greece: 0.2% | ||||||||||||||
Other Securities | 531,581 | 0.2 | ||||||||||||
Hong Kong: 0.9% | ||||||||||||||
Other Securities | 1,958,908 | 0.9 | ||||||||||||
Israel: 0.4% | ||||||||||||||
Other Securities | 803,647 | 0.4 | ||||||||||||
Italy: 1.4% | ||||||||||||||
Other Securities | 3,263,808 | 1.4 | ||||||||||||
Japan: 9.5% | ||||||||||||||
28,900 | Toyota Motor Corp. | 980,456 | 0.4 | |||||||||||
Other Securities | 20,672,495 | 9.1 | ||||||||||||
21,652,951 | 9.5 | |||||||||||||
Kazakhstan: 0.0% | ||||||||||||||
Other Securities | 43,742 | 0.0 | ||||||||||||
Netherlands: 2.3% | ||||||||||||||
67,311 | Royal Dutch Shell PLC Class B | 1,747,956 | 0.8 | |||||||||||
Other Securities | 3,497,126 | 1.5 | ||||||||||||
5,245,082 | 2.3 | |||||||||||||
New Zealand: 0.0% | ||||||||||||||
Other Securities | 80,735 | 0.0 | ||||||||||||
Norway: 0.2% | ||||||||||||||
Other Securities | 511,517 | 0.2 | ||||||||||||
Portugal: 0.2% | ||||||||||||||
Other Securities | 441,765 | 0.2 | ||||||||||||
Singapore: 0.7% | ||||||||||||||
Other Securities | 1,490,807 | 0.7 | ||||||||||||
Spain: 1.2% | ||||||||||||||
92,273 | Banco Santander Central Hispano S.A. | 1,074,453 | 0.5 | |||||||||||
46,658 | Telefonica S.A. | 1,031,229 | 0.4 | |||||||||||
Other Securities | 594,377 | 0.3 | ||||||||||||
2,700,059 | 1.2 | |||||||||||||
Sweden: 1.2% | ||||||||||||||
Other Securities | 2,842,632 | 1.2 | ||||||||||||
Switzerland: 3.2% | ||||||||||||||
28,676 | Nestle S.A. | 1,482,428 | 0.7 | |||||||||||
22,821 | Novartis AG | 1,196,316 | 0.5 | |||||||||||
8,903 | Roche Holding AG Genusschein | 1,207,688 | 0.5 | |||||||||||
Other Securities | 3,294,734 | 1.5 | ||||||||||||
7,181,166 | 3.2 | |||||||||||||
United Kingdom: 8.3% | ||||||||||||||
197,849 | BP PLC | 1,141,833 | 0.5 | |||||||||||
32,092 | British American Tobacco PLC | 1,087,376 | 0.5 | |||||||||||
172,906 | HSBC Holdings PLC | 1,693,555 | 0.7 | |||||||||||
22,139 | Rio Tinto PLC | 1,113,547 | 0.5 | |||||||||||
464,374 | Vodafone Group PLC | 1,114,988 | 0.5 | |||||||||||
Other Securities | 12,736,041 | 5.6 | ||||||||||||
18,887,340 | 8.3 | |||||||||||||
United States: 53.7% | ||||||||||||||
22,900 | 3M Co. | 1,798,795 | 0.8 | |||||||||||
88,500 | S | Altria Group, Inc. | 1,975,320 | 0.9 | ||||||||||
50,400 | American Express Co. | 2,009,448 | 0.9 | |||||||||||
15,503 | @,S | Apple, Inc. | 3,772,965 | 1.6 | ||||||||||
16,400 | Boeing Co. | 1,002,532 | 0.4 | |||||||||||
84,800 | Bristol-Myers Squibb Co. | 2,211,584 | 1.0 | |||||||||||
19
Percent |
||||||||||||||
of Net |
||||||||||||||
Shares | Value | Assets | ||||||||||||
United States (continued) | ||||||||||||||
45,542 | S | Chevron Corp. | $ | 3,377,395 | 1.5 | |||||||||
24,700 | @ | Cognizant Technology Solutions Corp. | 1,422,844 | 0.6 | ||||||||||
38,400 | S | ConocoPhillips | 2,013,312 | 0.9 | ||||||||||
16,800 | Deere & Co. | 1,062,936 | 0.5 | |||||||||||
44,000 | @,S | DIRECTV | 1,668,480 | 0.7 | ||||||||||
32,400 | EI Du Pont de Nemours & Co. | 1,320,948 | 0.6 | |||||||||||
91,450 | @,S | EMC Corp. | 1,668,048 | 0.7 | ||||||||||
23,600 | @ | Express Scripts, Inc. | 1,005,360 | 0.4 | ||||||||||
27,669 | S | ExxonMobil Corp. | 1,636,898 | 0.7 | ||||||||||
22,600 | HJ Heinz Co. | 1,045,024 | 0.5 | |||||||||||
32,700 | @ | Intuit, Inc. | 1,399,560 | 0.6 | ||||||||||
42,300 | McDonalds Corp. | 3,090,426 | 1.3 | |||||||||||
69,027 | Merck & Co., Inc. | 2,426,989 | 1.1 | |||||||||||
41,262 | S | Microsoft Corp. | 968,832 | 0.4 | ||||||||||
26,500 | @ | NetApp, Inc. | 1,071,660 | 0.5 | ||||||||||
16,400 | Newmont Mining Corp. | 1,005,648 | 0.4 | |||||||||||
29,900 | PNC Financial Services Group, Inc. | 1,523,704 | 0.7 | |||||||||||
18,500 | Prudential Financial, Inc. | 935,545 | 0.4 | |||||||||||
175,300 | Qwest Communications International, Inc. | 990,445 | 0.4 | |||||||||||
19,100 | S | Reynolds American, Inc. | 1,041,714 | 0.5 | ||||||||||
9,600 | @ | Salesforce.com, Inc. | 1,054,848 | 0.5 | ||||||||||
38,400 | Sysco Corp. | 1,055,616 | 0.5 | |||||||||||
25,100 | Time Warner Cable, Inc. | 1,295,411 | 0.6 | |||||||||||
17,600 | United Parcel Service, Inc. Class B | 1,122,880 | 0.5 | |||||||||||
19,733 | United Technologies Corp. | 1,286,789 | 0.6 | |||||||||||
Other Securities | 72,960,069 | 32.0 | ||||||||||||
122,222,025 | 53.7 | |||||||||||||
Total Common Stock (Cost $220,438,418) |
216,936,827 | 95.3 | ||||||||||||
REAL ESTATE INVESTMENT TRUSTS: 4.0%
|
||||||||||||||
Australia: 0.3% | ||||||||||||||
Other Securities | 637,220 | 0.3 | ||||||||||||
France: 0.0% | ||||||||||||||
Other Securities | 136,185 | 0.0 | ||||||||||||
Hong Kong: 0.1% | ||||||||||||||
Other Securities | 150,861 | 0.1 | ||||||||||||
Japan: 0.1% | ||||||||||||||
Other Securities | 333,182 | 0.1 | ||||||||||||
Singapore: 0.1% | ||||||||||||||
Other Securities | 190,920 | 0.1 | ||||||||||||
United Kingdom: 0.1% | ||||||||||||||
Other Securities | 312,428 | 0.1 | ||||||||||||
United States: 3.3% | ||||||||||||||
12,000 | Public Storage, Inc. | 1,176,240 | 0.5 | |||||||||||
15,769 | Simon Property Group, Inc. | 1,426,306 | 0.6 | |||||||||||
11,600 | Vornado Realty Trust | 940,296 | 0.4 | |||||||||||
Other Securities | 3,957,564 | 1.8 | ||||||||||||
7,500,406 | 3.3 | |||||||||||||
Total Real Estate Investment Trusts (Cost $8,944,541) |
9,261,202 | 4.0 | ||||||||||||
EXCHANGE-TRADED FUNDS: 0.7%
|
||||||||||||||
Developed Markets: 0.7% | ||||||||||||||
32,000 | iShares MSCI EAFE Index Fund | 1,598,400 | 0.7 | |||||||||||
Total Exchange-Traded Funds (Cost $1,588,683) |
1,598,400 | 0.7 | ||||||||||||
PREFERRED STOCK: 0.5%
|
||||||||||||||
Germany: 0.5% | ||||||||||||||
Other Securities | 1,120,511 | 0.5 | ||||||||||||
Total Preferred Stock (Cost $1,147,307) |
1,120,511 | 0.5 | ||||||||||||
Total Long-Term Investments (Cost $232,118,949) |
228,916,940 | 100.5 | ||||||||||||
SHORT-TERM INVESTMENTS: 1.0%
|
||||||||||||||
Affiliated Mutual Fund: 1.0% | ||||||||||||||
2,243,000 | ING Institutional Prime Money Market Fund Class I | 2,243,000 | 1.0 | |||||||||||
Total Short-Term Investments (Cost $2,243,000) |
2,243,000 | 1.0 | ||||||||||||
Total Investments in Securities (Cost $234,361,949)* |
$ | 231,159,940 | 101.5 | |||||||||||
Other Assets and Liabilities - Net |
(3,503,923 | ) | (1.5 | ) | ||||||||||
Net Assets | $ | 227,656,017 | 100.0 | |||||||||||
Other Securities represents issues not identified as the top 50 holdings in terms of market value and issues or issuers not exceeding 1% of net assets individually or in aggregate respectively as of August 31, 2010. |
20
The following footnotes apply to either the individual securities noted or one or more of the securities aggregated and listed as a single line item. | ||
@
|
Non-income producing security | |
S
|
All or a portion of this security has been identified by the Fund to cover future collateral requirements for applicable futures, options, swaps, foreign currency contracts and/or when-issued or delayed-delivery securities. | |
*
|
Cost for federal income tax purposes is $237,680,603. | |
Net unrealized depreciation consists of: |
Gross Unrealized Appreciation
|
$ | 9,685,412 | ||
Gross Unrealized Depreciation
|
(16,206,075 | ) | ||
Net Unrealized Depreciation
|
$ | (6,520,663 | ) | |
Percentage of |
||||
Industry | Net Assets | |||
Consumer Discretionary
|
10.5 | % | ||
Consumer Staples
|
11.2 | |||
Energy
|
9.0 | |||
Financials
|
20.0 | |||
Health Care
|
10.3 | |||
Industrials
|
10.8 | |||
Information Technology
|
12.9 | |||
Materials
|
6.2 | |||
Telecommunication Services
|
4.3 | |||
Utilities
|
4.6 | |||
Other Long-Term Investments
|
0.7 | |||
Short-Term Investments
|
1.0 | |||
Other Assets and Liabilities Net
|
(1.5 | ) | ||
Net Assets
|
100.0 | % | ||
Quoted Prices in Active Markets |
Other |
Significant |
||||||||||||||
for Identical Investments |
Observable Inputs# |
Unobservable Inputs |
Fair Value |
|||||||||||||
(Level 1) | (Level 2) | (Level 3) | at 8/31/2010 | |||||||||||||
Asset Table
|
||||||||||||||||
Investments, at value
|
||||||||||||||||
Common Stock
|
||||||||||||||||
Australia
|
$ | | $ | 7,905,369 | $ | | $ | 7,905,369 | ||||||||
Austria
|
| 268,544 | | 268,544 | ||||||||||||
Barbados
|
23,520 | | | 23,520 | ||||||||||||
Belgium
|
92 | 1,574,521 | | 1,574,613 | ||||||||||||
Bermuda
|
34,029 | | | 34,029 | ||||||||||||
Denmark
|
| 1,394,995 | | 1,394,995 | ||||||||||||
Finland
|
| 1,832,832 | | 1,832,832 | ||||||||||||
France
|
576,262 | 5,780,141 | | 6,356,403 | ||||||||||||
Germany
|
| 7,688,757 | | 7,688,757 | ||||||||||||
Greece
|
| 531,581 | | 531,581 | ||||||||||||
Hong Kong
|
| 1,958,908 | | 1,958,908 | ||||||||||||
Israel
|
| 803,647 | | 803,647 | ||||||||||||
Italy
|
| 3,263,808 | | 3,263,808 | ||||||||||||
Japan
|
| 21,652,951 | | 21,652,951 | ||||||||||||
Kazakhstan
|
| 43,742 | | 43,742 | ||||||||||||
Netherlands
|
| 5,245,082 | | 5,245,082 | ||||||||||||
New Zealand
|
27,878 | 52,857 | | 80,735 | ||||||||||||
Norway
|
| 511,517 | | 511,517 | ||||||||||||
Portugal
|
| 441,765 | | 441,765 | ||||||||||||
Singapore
|
| 1,490,807 | | 1,490,807 | ||||||||||||
Spain
|
| 2,700,059 | | 2,700,059 | ||||||||||||
Sweden
|
| 2,842,632 | | 2,842,632 | ||||||||||||
Switzerland
|
96,246 | 7,084,920 | | 7,181,166 | ||||||||||||
United Kingdom
|
844,873 | 18,042,467 | | 18,887,340 | ||||||||||||
United States
|
122,222,025 | | | 122,222,025 | ||||||||||||
Total Common Stock
|
123,824,925 | 93,111,902 | | 216,936,827 | ||||||||||||
Real Estate Investment Trusts
|
7,500,406 | 1,760,796 | | 9,261,202 | ||||||||||||
Exchange-Traded Funds
|
1,598,400 | | | 1,598,400 | ||||||||||||
Preferred Stock
|
| 1,120,511 | | 1,120,511 | ||||||||||||
Short-Term Investments
|
2,243,000 | | | 2,243,000 | ||||||||||||
Total Investments, at value
|
$ | 135,166,731 | $ | 95,993,209 | $ | | $ | 231,159,940 | ||||||||
Other Financial Instruments+:
|
||||||||||||||||
Forward foreign currency contracts
|
| 213,755 | | 213,755 | ||||||||||||
Total Assets
|
$ | 135,166,731 | $ | 96,206,964 | $ | | $ | 231,373,695 | ||||||||
Liabilities Table
|
||||||||||||||||
Other Financial Instruments+:
|
||||||||||||||||
Forward foreign currency contracts
|
$ | | $ | (3,535,270 | ) | $ | | $ | (3,535,270 | ) | ||||||
Futures
|
(99,800 | ) | | | (99,800 | ) | ||||||||||
Written options
|
| (2,037,794 | ) | | (2,037,794 | ) | ||||||||||
Total Liabilities
|
$ | (99,800 | ) | $ | (5,573,064 | ) | $ | | $ | (5,672,864 | ) | |||||
^ | See Note 2, Significant Accounting Policies in the Notes to Financial Statements for additional information. |
+ | Other Financial Instruments are derivatives not reflected in the Portfolio of Investments and may include open forward foreign currency contracts, futures, swaps, and written options. Forward foreign currency contracts and futures are reported at their unrealized gain/loss at measurement date which represents the amount due to/from the Fund. Swaps and written options are reported at their market value at measurement date. |
# | The earlier close of the foreign markets gives rise to the possibility that significant events, including broad market moves, may have occurred in the interim and may materially affect the value of those securities. To account for this, the Portfolio may frequently value many of its foreign equity securities using fair value prices based on third party vendor modeling tools to the extent available. Accordingly, a significant portion of the Portfolios investments are categorized as Level 2 investments. |
21
In |
Unrealized |
|||||||||||||||||||||
Settlement |
Exchange |
Appreciation |
||||||||||||||||||||
Counterparty
|
Currency | Buy/Sell | Date | For | Value | (Depreciation) | ||||||||||||||||
Brown Brothers Harriman & Co. |
Australian Dollar AUD 9,080,000 |
SELL | 9/15/10 | $ | 7,615,895 | $ | 8,062,792 | $ | (446,897 | ) | ||||||||||||
Brown Brothers Harriman & Co. |
British Pound GBP 12,660,000 |
SELL | 9/15/10 | 18,955,438 | 19,413,903 | (458,465 | ) | |||||||||||||||
Credit Suisse First Boston |
Swiss Franc CHF 7,465,000 |
SELL | 9/15/10 | 6,905,611 | 7,353,847 | (448,236 | ) | |||||||||||||||
JPMorgan Chase |
EU Euro EUR 25,464,000 |
SELL | 9/15/10 | 31,192,636 | 32,268,652 | (1,076,016 | ) | |||||||||||||||
JPMorgan Chase |
EU Euro EUR 2,720,000 |
SELL | 9/15/10 | 3,600,437 | 3,446,856 | 153,581 | ||||||||||||||||
JPMorgan Chase |
Japanese Yen JPY 1,839,900,000 |
SELL | 9/15/10 | 20,798,902 | 21,904,558 | (1,105,656 | ) | |||||||||||||||
UBS AG |
British Pound GBP 1,000,000 |
SELL | 9/15/10 | 1,593,658 | 1,533,484 | 60,174 | ||||||||||||||||
$ | (3,321,515 | ) | ||||||||||||||||||||
Number |
Expiration |
Notional |
Unrealized |
|||||||||||||
Contract Description
|
of Contracts | Date | Value | Depreciation | ||||||||||||
Long Contracts
|
||||||||||||||||
S&P 500
E-Mini
|
38 | 09/17/10 | $ | 1,991,770 | $ | (93,801 | ) | |||||||||
S&P 500
E-Mini
|
11 | 12/17/10 | 573,815 | (5,999 | ) | |||||||||||
$ | 2,565,585 | $ | (99,800 | ) | ||||||||||||
# of |
Expiration |
Strike |
Premiums |
Fair |
||||||||||||||||||
Contracts | Counterparty | Description | Date | Price/Rate | Received | Value | ||||||||||||||||
3,100 | Goldman Sachs & Co. | Dow Jones Euro Stoxx 50 | 09/16/10 | 2,679.300 EUR | $ | 289,163 | $ | (131,110 | ) | |||||||||||||
2,620 | Goldman Sachs & Co. | Dow Jones Euro Stoxx 50 | 09/02/10 | 2,822.440 EUR | 226,061 | (1 | ) | |||||||||||||||
1,300 | Morgan Stanley | FTSE 100 Index | 09/16/10 | 5,215.460 GBP | 249,337 | (207,885 | ) | |||||||||||||||
1,310 | UBS Warburg LLC | FTSE 100 Index | 09/02/10 | 5,356.660 GBP | 223,445 | (4,205 | ) | |||||||||||||||
100,000 | UBS Warburg LLC | Nikkei 225 Index | 09/16/10 | 9,375.780 JPY | 272,145 | (48,743 | ) | |||||||||||||||
103,000 | UBS Warburg LLC | Nikkei 225 Index | 09/02/10 | 9,667.430 JPY | 291,981 | (1 | ) | |||||||||||||||
47,791 | JP Morgan Chase & Co. | S&P 500® Index | 09/16/10 | 1,079.380 USD | 1,372,080 | (435,091 | ) | |||||||||||||||
40,828 | JP Morgan Chase & Co. | S&P 500® Index | 09/29/10 | 1,048.920 USD | 1,139,101 | (1,210,758 | ) | |||||||||||||||
$ | 4,063,313 | $ | (2,037,794 | ) | ||||||||||||||||||
Derivatives not accounted for |
||||||
as hedging instruments | Location on Statement of Assets and Liabilities | Fair Value | ||||
Asset Derivatives
|
||||||
Foreign exchange contracts
|
Unrealized appreciation on forward foreign currency contracts | $ | 213,755 | |||
Total Asset Derivatives
|
$ | 213,755 | ||||
Liability Derivatives
|
||||||
Foreign exchange contracts
|
Unrealized depreciation on forward foreign currency contracts | $ | 3,535,270 | |||
Equity contracts
|
Written options, at fair value | 2,037,794 | ||||
Equity contracts
|
Net Assets- Unrealized depreciation* | 99,800 | ||||
Total Liability Derivatives
|
$ | 5,672,864 | ||||
* | Includes cumulative appreciation/depreciation of futures contracts as reported in the table following the Summary Portfolio of Investments. |
22
Amount of Realized Gain or (Loss) |
||||||||||||||||
on Derivatives Recognized in Income | ||||||||||||||||
Foreign |
||||||||||||||||
Currency |
||||||||||||||||
Derivatives not accounted for |
Related |
Written |
||||||||||||||
as hedging instruments
|
Transactions* | Futures | Options | Total | ||||||||||||
Equity contracts
|
$ | | $ | 57,680 | $ | 3,961,284 | $ | 4,018,964 | ||||||||
Foreign exchange contracts
|
3,263,331 | | | 3,263,331 | ||||||||||||
Total
|
$ | 3,263,331 | $ | 57,680 | $ | 3,961,284 | $ | 7,282,295 | ||||||||
Change in Unrealized |
||||||||||||||||
Appreciation or (Depreciation) |
||||||||||||||||
on Derivatives Recognized in Income | ||||||||||||||||
Foreign |
||||||||||||||||
Currency |
||||||||||||||||
Derivatives not accounted for |
Related |
Written |
||||||||||||||
as hedging instruments
|
Transactions* | Futures | Options | Total | ||||||||||||
Equity contracts
|
$ | | $ | (118,983 | ) | $ | 1,046,220 | $ | 927,237 | |||||||
Foreign exchange contracts
|
(3,652,265 | ) | | | (3,652,265 | ) | ||||||||||
Total
|
$ | (3,652,265 | ) | $ | (118,983 | ) | $ | 1,046,220 | $ | (2,725,028 | ) | |||||
* | Amounts recognized for forward foreign currency contracts are included in net realized gain (loss) on foreign currency related transactions and net change in unrealized appreciation or depreciation on foreign currency related transactions. |
Supplemental Call Option Statistics as of August 31,
2010
|
||
% of Total Net Assets against which calls written
|
68.99% | |
Average Days to Expiration at time written
|
29 days | |
Average Call Moneyness* at time written
|
ATM | |
Premium received for calls
|
$4,063,313 | |
Value of calls
|
$(2,037,794) |
* | Moneyness is the term used to describe the relationship between the price of the underlying asset and the options exercise or strike price. For example, a call (buy) option is considered in-the-money when the value of the underlying asset exceeds the strike price. Conversely, a put (sell) option is considered in-the-money when its strike price exceeds the value of the underlying asset. Options are characterized for the purpose of Moneyness as, in-the-money (ITM), out-of-the-money (OTM) or at-the-money (ATM), where the underlying asset value equals the strike price. |
23
Shares |
||||||||||||||||||
voted |
||||||||||||||||||
Shares |
against |
Total |
||||||||||||||||
voted |
or |
Shares |
Shares |
|||||||||||||||
Proposal* | for | withheld | abstained | Voted | ||||||||||||||
Class II Trustees
|
John V. Boyer | 13,373,419.738 | 222,592.445 | 13,596,012.183 | ||||||||||||||
Patricia W. Chadwick | 13,360,056.914 | 235,955.269 | 13,596,012.183 | |||||||||||||||
Sheryl K. Pressler | 13,364,026.135 | 231,986.048 | 13,596,012.183 |
* | Proposal Passed |
24
25
DECLARATION |
EX-DIVIDEND |
PAYABLE |
||
DATE
|
DATE
|
DATE
|
||
March 19, 2010
|
April 1, 2010 | April 15, 2010 | ||
June 21, 2010
|
July 1, 2010 | July 15, 2010 | ||
September 20, 2010
|
October 1, 2010 | October 15, 2010 | ||
December 20, 2010
|
December 29, 2010 | January 17, 2011 |
26
Item 2. Code of Ethics.
Not required for semi-annual filing.
Item 3. Audit Committee Financial Expert.
Not required for semi-annual filing.
Item 4. Principal Accountant Fees and Services.
Not required for semi-annual filing.
Item 5. Audit Committee Of Listed Registrants.
Not required for semi-annual filing.
Item 6. Schedule of Investments.
PORTFOLIO OF INVESTMENTS | ||
ING Global Advantage and Premium Opportunity Fund | as of August 31, 2010 (Unaudited) |
Shares | Value | |||||||||||||||
COMMON STOCK: | 95.3% | |||||||||||||||
Australia: | 3.5% | |||||||||||||||
28,176 | Amcor Ltd. | $ | 169,281 | |||||||||||||
5,170 | AMP Ltd. | 23,261 | ||||||||||||||
5,002 | ASX Ltd. | 130,039 | ||||||||||||||
30,665 | Australia & New Zealand Banking Group Ltd. | 619,274 | ||||||||||||||
17,376 | Bendigo Bank Ltd. | 130,686 | ||||||||||||||
33,599 | BHP Billiton Ltd. | 1,114,747 | ||||||||||||||
52,472 | Boral Ltd. | 205,952 | ||||||||||||||
87,264 | Brambles Ltd. | 455,769 | ||||||||||||||
17,137 | Commonwealth Bank of Australia | 770,218 | ||||||||||||||
8,328 | Computershare Ltd. | 70,548 | ||||||||||||||
13,713 | Crown Ltd. | 101,414 | ||||||||||||||
8,289 | CSL Ltd. | 243,688 | ||||||||||||||
45,022 | Fosters Group Ltd. | 243,249 | ||||||||||||||
15,260 | Goodman Fielder Ltd. | 18,224 | ||||||||||||||
10,360 | Leighton Holdings Ltd. | 283,999 | ||||||||||||||
16,882 | MacArthur Coal Ltd. | 169,676 | ||||||||||||||
848 | Macquarie Group Ltd. | 28,475 | ||||||||||||||
18,329 | National Australia Bank Ltd. | 380,075 | ||||||||||||||
5,469 | Newcrest Mining Ltd. | 182,150 | ||||||||||||||
27,581 | OneSteel Ltd. | 71,145 | ||||||||||||||
1,220 | Orica Ltd. | 27,317 | ||||||||||||||
21,156 | Origin Energy Ltd. | 287,894 | ||||||||||||||
17,327 | QBE Insurance Group Ltd. | 254,401 | ||||||||||||||
3,060 | Rio Tinto Ltd. | 192,184 | ||||||||||||||
3,871 | Suncorp-Metway Ltd. | 28,841 | ||||||||||||||
3,809 | Wesfarmers Ltd. | 108,612 | ||||||||||||||
35,167 | Westpac Banking Corp. | 681,528 | ||||||||||||||
5,194 | Woodside Petroleum Ltd. | 194,258 | ||||||||||||||
26,001 | Woolworths Ltd. | 642,714 | ||||||||||||||
4,088 | WorleyParsons Ltd. | 75,750 | ||||||||||||||
7,905,369 | ||||||||||||||||
Austria: | 0.1% | |||||||||||||||
4,168 | Erste Bank der Oesterreichischen Sparkassen AG | 150,321 | ||||||||||||||
36,324 | @ | Immofinanz Immobilien Anlagen AG | 118,223 | |||||||||||||
268,544 | ||||||||||||||||
Barbados: | 0.0% | |||||||||||||||
1,500 | @ | Nabors Industries Ltd. | 23,520 | |||||||||||||
23,520 | ||||||||||||||||
Belgium: | 0.7% | |||||||||||||||
14,572 | Anheuser-Busch InBev NV | 754,761 | ||||||||||||||
24,304 | @ | Anheuser-Busch InBev NV - Strip VVPR | 92 | |||||||||||||
5,825 | Delhaize Group | 389,323 | ||||||||||||||
1,772 | Groupe Bruxelles Lambert S.A. | 130,277 | ||||||||||||||
3,280 | @ | KBC Groep NV | 135,407 | |||||||||||||
5,787 | UCB S.A. | 164,753 | ||||||||||||||
1,574,613 | ||||||||||||||||
Bermuda: | 0.0% | |||||||||||||||
1,900 | XL Group PLC | 34,029 | ||||||||||||||
34,029 | ||||||||||||||||
Denmark: | 0.6% | |||||||||||||||
54 | AP Moller - Maersk A/S - Class B | 404,598 | ||||||||||||||
2,112 | Coloplast A/S | 224,490 | ||||||||||||||
9,277 | @ | Danske Bank A/S | 204,909 | |||||||||||||
6,566 | Novo-Nordisk A/S | 560,998 | ||||||||||||||
1,394,995 | ||||||||||||||||
Finland: | 0.8% | |||||||||||||||
787 | Metso OYJ | 28,640 | ||||||||||||||
19,708 | Nokia OYJ | 167,933 | ||||||||||||||
9,037 | Nokian Renkaat OYJ | 258,033 | ||||||||||||||
8,577 | OKO Bank | 93,446 | ||||||||||||||
8,131 | Sampo OYJ | 195,342 | ||||||||||||||
25,453 | Stora Enso OYJ (Euro Denominated Security) | 195,077 | ||||||||||||||
34,339 | UPM-Kymmene OYJ | 469,908 | ||||||||||||||
7,980 | Wartsila OYJ | 424,453 | ||||||||||||||
1,832,832 | ||||||||||||||||
France: | 2.8% | |||||||||||||||
1,242 | Air Liquide | 128,464 | ||||||||||||||
17,887 | AXA S.A. | 275,544 | ||||||||||||||
11,433 | BNP Paribas | 708,290 | ||||||||||||||
1,071 | Capgemini S.A. | 45,153 | ||||||||||||||
4,653 | Cie de Saint-Gobain | 169,956 | ||||||||||||||
6,705 | CNP Assurances | 113,738 | ||||||||||||||
2,361 | Credit Agricole S.A. | 29,493 | ||||||||||||||
28,350 | France Telecom S.A. | 576,262 | ||||||||||||||
1,312 | Gaz de France | 40,458 | ||||||||||||||
8,003 | M6-Metropole Television | 166,041 | ||||||||||||||
3,600 | PPR | 466,679 | ||||||||||||||
4,475 | Publicis Groupe | 186,823 | ||||||||||||||
11,910 | Sanofi-Aventis | 681,804 | ||||||||||||||
5,916 | Schneider Electric S.A. | 625,222 | ||||||||||||||
6,053 | Scor S.A. | 131,241 | ||||||||||||||
4,986 | Societe Generale | 251,434 | ||||||||||||||
14,632 | Total S.A. | 680,599 | ||||||||||||||
5,022 | Vallourec | 429,910 | ||||||||||||||
27,985 | Vivendi | 649,292 | ||||||||||||||
6,356,403 | ||||||||||||||||
Germany: | 3.4% | |||||||||||||||
3,105 | Adidas AG | 157,476 | ||||||||||||||
5,628 | Allianz AG | 574,542 | ||||||||||||||
8,683 | BASF AG | 456,689 | ||||||||||||||
5,670 | Bayer AG | 345,846 | ||||||||||||||
2,319 | @ | DaimlerChrysler AG | 112,193 |
Shares | Value | |||||||||||||||
7,876 | Deutsche Bank AG | 489,757 | ||||||||||||||
1,376 | Deutsche Boerse AG | 83,777 | ||||||||||||||
43,726 | Deutsche Telekom AG | 574,436 | ||||||||||||||
29,133 | E.ON AG | 817,683 | ||||||||||||||
2,308 | Hannover Rueckversicheru - Reg | 101,951 | ||||||||||||||
9,364 | HeidelbergCement AG | 374,067 | ||||||||||||||
1,302 | Henkel KGaA | 52,316 | ||||||||||||||
28,888 | @ | Infineon Technologies AG | 160,194 | |||||||||||||
5,242 | Linde AG | 589,366 | ||||||||||||||
2,574 | Muenchener Rueckversicherungs AG | 328,012 | ||||||||||||||
7,729 | RWE AG | 505,885 | ||||||||||||||
12,927 | SAP AG | 562,914 | ||||||||||||||
12,088 | Siemens AG | 1,095,752 | ||||||||||||||
17,036 | United Internet AG | 218,114 | ||||||||||||||
969 | Volkswagen AG | 87,787 | ||||||||||||||
7,688,757 | ||||||||||||||||
Greece: | 0.2% | |||||||||||||||
22,129 | Hellenic Telecommunications | |||||||||||||||
Organization S.A. | 150,974 | |||||||||||||||
1,470 | @ | National Bank of Greece S.A. | 18,251 | |||||||||||||
25,515 | Public Power Corp. | 362,356 | ||||||||||||||
531,581 | ||||||||||||||||
Hong Kong: | 0.9% | |||||||||||||||
70,500 | BOC Hong Kong Holdings Ltd. | 186,182 | ||||||||||||||
7,000 | Cheung Kong Holdings Ltd. | 88,635 | ||||||||||||||
27,500 | CLP Holdings Ltd. | 210,488 | ||||||||||||||
3,800 | Hang Seng Bank Ltd. | 52,239 | ||||||||||||||
5,200 | Hong Kong Exchanges and Clearing Ltd. | 81,895 | ||||||||||||||
40,000 | HongKong Electric Holdings | 243,258 | ||||||||||||||
5,000 | Hutchison Whampoa Ltd. | 37,056 | ||||||||||||||
33,000 | Hysan Development Co., Ltd. | 105,006 | ||||||||||||||
24,000 | Li & Fung Ltd. | 122,268 | ||||||||||||||
16,000 | New World Development Ltd. | 25,848 | ||||||||||||||
673,000 | PCCW Ltd. | 220,410 | ||||||||||||||
19,000 | Sun Hung Kai Properties Ltd. | 268,191 | ||||||||||||||
15,500 | Swire Pacific Ltd. | 187,467 | ||||||||||||||
24,000 | Wharf Holdings Ltd. | 129,965 | ||||||||||||||
1,958,908 | ||||||||||||||||
Israel: | 0.4% | |||||||||||||||
33,350 | @ | Bank Leumi Le-Israel BM | 137,805 | |||||||||||||
28,951 | Bezeq Israeli Telecommunication Corp. Ltd. | 63,832 | ||||||||||||||
210 | Delek Group Ltd. | 52,840 | ||||||||||||||
18,109 | Makhteshim-Agan Industries Ltd. | 62,299 | ||||||||||||||
9,610 | Teva Phaemaceutical Industries Ltd. | 486,871 | ||||||||||||||
803,647 | ||||||||||||||||
Italy: | 1.4% | |||||||||||||||
8,438 | Assicurazioni Generali S.p.A. | 151,694 | ||||||||||||||
1,657 | @ | Autogrill S.p.A. | 19,051 | |||||||||||||
148,739 | Enel S.p.A. | 705,838 | ||||||||||||||
39,293 | ENI S.p.A. | 776,355 | ||||||||||||||
107,796 | Intesa Sanpaolo S.p.A. | 300,367 | ||||||||||||||
27,289 | Intesa Sanpaolo S.p.A. - RNC | 61,523 | ||||||||||||||
1,736 | @ | Mediobanca S.p.A. | 13,587 | |||||||||||||
57,422 | Pirelli & C S.p.A. | 379,250 | ||||||||||||||
11,596 | Saipem S.p.A. | 403,625 | ||||||||||||||
150,358 | Telecom Italia S.p.A. RNC | 164,941 | ||||||||||||||
123,367 | UniCredito Italiano S.p.A. | 287,577 | ||||||||||||||
3,263,808 | ||||||||||||||||
Japan: | 9.5% | |||||||||||||||
20,000 | 77 Bank Ltd. | 99,375 | ||||||||||||||
4,480 | Acom Co., Ltd. | 67,294 | ||||||||||||||
2,700 | Aeon Credit Service Co., Ltd. | 28,520 | ||||||||||||||
9,200 | Aisin Seiki Co., Ltd. | 237,665 | ||||||||||||||
6,600 | Alfresa Holdings Corp. | 294,247 | ||||||||||||||
18,000 | Asahi Glass Co., Ltd. | 175,629 | ||||||||||||||
4,900 | Astellas Pharma, Inc. | 169,210 | ||||||||||||||
12,000 | Bank of Kyoto Ltd. | 95,521 | ||||||||||||||
26,400 | Brother Industries Ltd. | 283,065 | ||||||||||||||
14,200 | Canon, Inc. | 581,355 | ||||||||||||||
65 | Central Japan Railway Co. | 524,185 | ||||||||||||||
2,200 | Chubu Electric Power Co., Inc. | 57,913 | ||||||||||||||
73,000 | Cosmo Oil Co., Ltd. | 174,562 | ||||||||||||||
20,000 | Daihatsu Motor Co., Ltd. | 252,554 | ||||||||||||||
24 | Dai-ichi Life Insurance Co. Ltd. | 28,444 | ||||||||||||||
21,100 | Dainippon Sumitomo Pharma Co., Ltd. | 175,447 | ||||||||||||||
2,400 | Daito Trust Construction Co., Ltd. | 137,822 | ||||||||||||||
1,000 | Denso Corp. | 27,117 | ||||||||||||||
9,681 | East Japan Railway Co. | 626,091 | ||||||||||||||
10,500 | Electric Power Development Co. | 337,649 | ||||||||||||||
21,700 | @ | Elpida Memory, Inc. | 260,183 | |||||||||||||
9,000 | Fuji Heavy Industries Ltd. | 50,372 | ||||||||||||||
29,000 | Fukuoka Financial Group, Inc. | 115,844 | ||||||||||||||
19,000 | Gunma Bank Ltd. | 98,098 | ||||||||||||||
21,000 | Hachijuni Bank Ltd. | 113,770 | ||||||||||||||
14,500 | Honda Motor Co., Ltd. | 480,272 | ||||||||||||||
67,300 | Itochu Corp. | 548,651 | ||||||||||||||
1,500 | Japan Petroleum Exploration Co. | 54,036 | ||||||||||||||
34 | Japan Tobacco, Inc. | 105,625 | ||||||||||||||
15,500 | JFE Holdings, Inc. | 457,358 | ||||||||||||||
11,000 | Kajima Corp. | 25,752 | ||||||||||||||
69,000 | Kaneka Corp. | 411,818 | ||||||||||||||
20,100 | Kansai Electric Power Co., Inc. | 514,982 | ||||||||||||||
10,400 | Kao Corp. | 242,103 | ||||||||||||||
700 | Keyence Corp. | 144,895 | ||||||||||||||
17,000 | Kirin Brewery Co., Ltd. | 234,900 | ||||||||||||||
16,635 | Kyushu Electric Power Co., Inc. | 395,181 | ||||||||||||||
85,000 | Marubeni Corp. | 437,617 | ||||||||||||||
80,000 | Mazda Motor Corp. | 178,855 | ||||||||||||||
6,200 | MEIJI Holdings Co., Ltd. | 288,670 | ||||||||||||||
28,800 | Mitsubishi Corp. | 617,110 |
Shares | Value | |||||||||||||||
5,000 | Mitsubishi Estate Co., Ltd. | 75,206 | ||||||||||||||
151,200 | Mitsubishi UFJ Financial Group, Inc. | 716,916 | ||||||||||||||
47,100 | Mitsui & Co., Ltd. | 613,125 | ||||||||||||||
2,497 | Mitsui Fudosan Co., Ltd. | 40,520 | ||||||||||||||
9,800 | Mitsui Sumitomo Insurance Group Holdings, Inc. | 219,293 | ||||||||||||||
144,503 | Mizuho Financial Group, Inc. | 221,627 | ||||||||||||||
8,100 | Murata Manufacturing Co., Ltd. | 384,825 | ||||||||||||||
3,000 | NHK Spring Co., Ltd. | 24,878 | ||||||||||||||
700 | Nintendo Co., Ltd. | 194,061 | ||||||||||||||
23,000 | Nippon Electric Glass Co., Ltd. | 257,431 | ||||||||||||||
12,700 | Nippon Paper Group, Inc. | 329,624 | ||||||||||||||
61,000 | Nippon Steel Corp. | 201,265 | ||||||||||||||
10,100 | Nippon Telegraph & Telephone Corp. | 434,277 | ||||||||||||||
35,000 | Nippon Yusen KK | 134,810 | ||||||||||||||
10,163 | Nishi-Nippon City Bank Ltd. | 28,480 | ||||||||||||||
41,100 | @ | Nissan Motor Co., Ltd. | 313,264 | |||||||||||||
900 | Nitto Denko Corp. | 28,882 | ||||||||||||||
5,579 | @ | NKSJ Holdings, Inc. | 31,148 | |||||||||||||
19,800 | Nomura Holdings, Inc. | 112,149 | ||||||||||||||
32 | NTT DoCoMo, Inc. | 54,225 | ||||||||||||||
110 | NTT Urban Development Corp. | 85,716 | ||||||||||||||
2,600 | Oriental Land Co., Ltd. | 230,443 | ||||||||||||||
24,000 | Ricoh Co., Ltd. | 307,599 | ||||||||||||||
23,400 | Sapporo Hokuyo Holdings, Inc. | 110,279 | ||||||||||||||
27,900 | Sega Sammy Holdings, Inc. | 414,297 | ||||||||||||||
5,000 | Sekisui Chemical Co., Ltd. | 29,307 | ||||||||||||||
4,300 | Shinko Electric Industries | 47,243 | ||||||||||||||
47,000 | Shinko Securities Co., Ltd. | 105,285 | ||||||||||||||
92,000 | Shinsei Bank Ltd. | 69,736 | ||||||||||||||
13,900 | Softbank Corp. | 398,431 | ||||||||||||||
21,000 | Sony Corp. | 588,589 | ||||||||||||||
50,500 | Sumitomo Corp. | 578,508 | ||||||||||||||
12,612 | Sumitomo Electric Industries Ltd. | 135,180 | ||||||||||||||
10,900 | Sumitomo Mitsui Financial Group, Inc. | 323,478 | ||||||||||||||
33,142 | Sumitomo Trust & Banking Co., Ltd. | 175,767 | ||||||||||||||
1,800 | T&D Holdings, Inc. | 34,173 | ||||||||||||||
14,432 | Takeda Pharmaceutical Co., Ltd. | 663,315 | ||||||||||||||
6,500 | TDK Corp. | 341,026 | ||||||||||||||
3,000 | Tohoku Electric Power Co., Inc. | 69,495 | ||||||||||||||
11,389 | Tokio Marine Holdings, Inc. | 305,527 | ||||||||||||||
1,700 | Tokyo Electric Power Co., Inc. | 49,424 | ||||||||||||||
600 | Tokyo Electron Ltd. | 28,151 | ||||||||||||||
91,000 | Tosoh Corp. | 228,014 | ||||||||||||||
16,000 | Toyo Suisan Kaisha Ltd. | 337,124 | ||||||||||||||
28,900 | Toyota Motor Corp. | 980,456 | ||||||||||||||
5,340 | USS Co., Ltd. | 393,983 | ||||||||||||||
6,000 | Yamaguchi Financial Group, Inc. | 56,642 | ||||||||||||||
21,652,951 | ||||||||||||||||
Kazakhstan: | 0.0% | |||||||||||||||
3,385 | Eurasian Natural Resources Corp. | 43,742 | ||||||||||||||
43,742 | ||||||||||||||||
Netherlands: | 2.3% | |||||||||||||||
5,877 | Fugro NV | 329,314 | ||||||||||||||
43,589 | Koninklijke Ahold NV | 535,092 | ||||||||||||||
10,221 | Koninklijke Boskalis Westminster NV | 379,913 | ||||||||||||||
22,785 | Koninklijke Philips Electronics NV | 634,945 | ||||||||||||||
720 | Koninklijke Vopak NV | 28,836 | ||||||||||||||
32,498 | Royal Dutch Shell PLC - Class A | 860,671 | ||||||||||||||
34,813 | Royal Dutch Shell PLC - Class B | 887,285 | ||||||||||||||
30,069 | Royal KPN NV | 434,736 | ||||||||||||||
15,487 | TNT NV | 391,430 | ||||||||||||||
28,587 | Unilever NV | 762,860 | ||||||||||||||
5,245,082 | ||||||||||||||||
New Zealand: | 0.0% | |||||||||||||||
37,842 | Auckland International Airport Ltd. | 52,857 | ||||||||||||||
19,408 | Telecom Corp. of New Zealand Ltd. | 27,878 | ||||||||||||||
80,735 | ||||||||||||||||
Norway: | 0.2% | |||||||||||||||
29,491 | Aker Kvaerner ASA | 323,596 | ||||||||||||||
17,114 | DnB NOR ASA | 187,921 | ||||||||||||||
511,517 | ||||||||||||||||
Portugal: | 0.2% | |||||||||||||||
40,114 | Jeronimo Martins | 441,765 | ||||||||||||||
441,765 | ||||||||||||||||
Singapore: | 0.7% | |||||||||||||||
25,000 | DBS Group Holdings Ltd. | 256,795 | ||||||||||||||
33,000 | Fraser and Neave Ltd. | 135,560 | ||||||||||||||
16,000 | Jardine Cycle & Carriage Ltd. | 384,633 | ||||||||||||||
38,000 | Oversea-Chinese Banking Corp. | 243,688 | ||||||||||||||
8,000 | Singapore Airlines Ltd. | 89,281 | ||||||||||||||
9,000 | Singapore Telecommunications Ltd. | 20,508 | ||||||||||||||
73,000 | StarHub Ltd. | 132,591 | ||||||||||||||
9,000 | United Overseas Bank Ltd. | 124,549 | ||||||||||||||
35,000 | United Overseas Land Ltd. | 103,202 | ||||||||||||||
1,490,807 | ||||||||||||||||
Spain: | 1.2% | |||||||||||||||
41,194 | Banco Bilbao Vizcaya Argentaria S.A. | 496,193 | ||||||||||||||
92,273 | Banco Santander Central Hispano S.A. | 1,074,453 | ||||||||||||||
20,944 | Criteria Caixacorp S.A. | 98,184 | ||||||||||||||
46,658 | Telefonica S.A. | 1,031,229 | ||||||||||||||
2,700,059 | ||||||||||||||||
Sweden: | 1.2% | |||||||||||||||
26,087 | Atlas Copco AB - Class B | 356,258 | ||||||||||||||
36,823 | Boliden AB | 415,687 | ||||||||||||||
20,600 | Electrolux AB | 395,704 | ||||||||||||||
8,404 | Getinge AB | 168,464 | ||||||||||||||
9,538 | Investor AB | 163,989 | ||||||||||||||
7,223 | Kinnevik Investment AB | 130,700 | ||||||||||||||
43,738 | Nordea Bank AB | 390,030 |
Shares | Value | |||||||||||||||
4,461 | Ratos AB | 118,805 | ||||||||||||||
4,045 | SKF AB - B Shares | 72,295 | ||||||||||||||
8,772 | Svenska Handelsbanken AB | 227,986 | ||||||||||||||
41,706 | Telefonaktiebolaget LM Ericsson | 402,714 | ||||||||||||||
2,842,632 | ||||||||||||||||
Switzerland: | 3.2% | |||||||||||||||
4,164 | @ | ABB Ltd. | 80,375 | |||||||||||||
1,800 | ACE Ltd. | 96,246 | ||||||||||||||
13,975 | Compagnie Financiere Richemont S.A. | 540,443 | ||||||||||||||
13,872 | Credit Suisse Group | 606,675 | ||||||||||||||
8,526 | Holcim Ltd. | 511,184 | ||||||||||||||
28,676 | Nestle S.A. | 1,482,428 | ||||||||||||||
22,821 | Novartis AG | 1,196,316 | ||||||||||||||
1,541 | Pargesa Holding S.A. | 100,196 | ||||||||||||||
8,903 | Roche Holding AG - Genusschein | 1,207,688 | ||||||||||||||
29 | SGS S.A. | 41,931 | ||||||||||||||
5,628 | Swiss Reinsurance | 232,389 | ||||||||||||||
31,888 | @ | UBS AG - Reg | 535,013 | |||||||||||||
7,068 | Xstrata PLC | 110,299 | ||||||||||||||
1,980 | Zurich Financial Services AG | 439,983 | ||||||||||||||
7,181,166 | ||||||||||||||||
United Kingdom: | 8.3% | |||||||||||||||
5,240 | Aggreko PLC | 113,600 | ||||||||||||||
16,444 | Anglo American PLC | 586,494 | ||||||||||||||
6,516 | ARM Holdings PLC | 36,362 | ||||||||||||||
14,721 | AstraZeneca PLC | 723,616 | ||||||||||||||
5,906 | @ | Autonomy Corp. PLC | 140,789 | |||||||||||||
44,247 | Aviva PLC | 255,594 | ||||||||||||||
132,660 | Barclays PLC | 609,044 | ||||||||||||||
46,275 | BG Group PLC | 741,174 | ||||||||||||||
13,008 | BHP Billiton PLC | 362,736 | ||||||||||||||
197,849 | BP PLC | 1,141,833 | ||||||||||||||
32,092 | British American Tobacco PLC | 1,087,376 | ||||||||||||||
44,835 | BT Group PLC | 91,432 | ||||||||||||||
118,360 | Cable & Wireless Worldwide PLC | 121,257 | ||||||||||||||
16,927 | Capita Group PLC | 182,053 | ||||||||||||||
62,706 | Compass Group PLC | 511,235 | ||||||||||||||
27,823 | Diageo PLC | 452,245 | ||||||||||||||
43,081 | GlaxoSmithKline PLC | 803,951 | ||||||||||||||
5,656 | Group 4 Securicor PLC | 21,824 | ||||||||||||||
172,906 | HSBC Holdings PLC | 1,693,555 | ||||||||||||||
18,474 | ICAP PLC | 115,592 | ||||||||||||||
23,715 | Imperial Tobacco Group PLC | 652,658 | ||||||||||||||
20,289 | Inmarsat PLC | 207,491 | ||||||||||||||
14,103 | International Power PLC | 80,044 | ||||||||||||||
15,713 | Investec PLC | 112,976 | ||||||||||||||
20,318 | J Sainsbury PLC | 113,466 | ||||||||||||||
18,268 | Kazakhmys PLC | 321,532 | ||||||||||||||
31,244 | Kingfisher PLC | 97,514 | ||||||||||||||
95,851 | Legal & General Group PLC | 135,593 | ||||||||||||||
329,230 | @ | Lloyds TSB Group PLC | 346,545 | |||||||||||||
41,992 | Man Group PLC | 133,421 | ||||||||||||||
86,398 | National Grid PLC | 727,482 | ||||||||||||||
52,824 | Old Mutual PLC | 102,657 | ||||||||||||||
32,230 | Pearson PLC | 477,934 | ||||||||||||||
7,019 | Petrofac Ltd. | 150,183 | ||||||||||||||
15,404 | Prudential PLC | 133,619 | ||||||||||||||
6,007 | Reckitt Benckiser PLC | 299,402 | ||||||||||||||
22,139 | Rio Tinto PLC | 1,113,547 | ||||||||||||||
55,801 | Rolls-Royce Group PLC | 472,130 | ||||||||||||||
62,419 | @ | Royal Bank of Scotland Group PLC | 42,274 | |||||||||||||
2,769 | Schroders PLC | 58,024 | ||||||||||||||
1,325 | Scottish & Southern Energy PLC | 23,247 | ||||||||||||||
21,278 | Serco Group PLC | 189,449 | ||||||||||||||
6,795 | Severn Trent PLC | 134,719 | ||||||||||||||
6,903 | Shire PLC | 148,506 | ||||||||||||||
32,877 | Smith & Nephew PLC | 272,084 | ||||||||||||||
4,440 | Smiths Group PLC | 77,644 | ||||||||||||||
23,762 | Standard Chartered PLC | 634,566 | ||||||||||||||
11,951 | Standard Life PLC | 37,166 | ||||||||||||||
26,365 | Tesco PLC | 164,071 | ||||||||||||||
12,897 | Unilever PLC | 339,769 | ||||||||||||||
3,578 | Vedanta Resources PLC | 103,090 | ||||||||||||||
464,374 | Vodafone Group PLC | 1,114,988 | ||||||||||||||
2,072 | Whitbread PLC | 44,184 | ||||||||||||||
3,399 | WPP PLC | 33,603 | ||||||||||||||
18,887,340 | ||||||||||||||||
United States: | 53.7% | |||||||||||||||
22,900 | 3M Co. | 1,798,795 | ||||||||||||||
8,401 | S | Abbott Laboratories | 414,505 | |||||||||||||
500 | Abercrombie & Fitch Co. | 17,300 | ||||||||||||||
2,800 | @ | Adobe Systems, Inc. | 77,728 | |||||||||||||
3,100 | @ | Advanced Micro Devices, Inc. | 17,422 | |||||||||||||
3,600 | @ | AES Corp. | 36,864 | |||||||||||||
2,300 | Aetna, Inc. | 61,456 | ||||||||||||||
2,578 | Aflac, Inc. | 121,811 | ||||||||||||||
1,900 | @ | Agilent Technologies, Inc. | 51,243 | |||||||||||||
1,100 | Air Products & Chemicals, Inc. | 81,433 | ||||||||||||||
6,500 | Airgas, Inc. | 427,700 | ||||||||||||||
600 | AK Steel Holding Corp. | 7,644 | ||||||||||||||
15,400 | @ | Akamai Technologies, Inc. | 709,478 | |||||||||||||
5,500 | S | Alcoa, Inc. | 56,155 | |||||||||||||
900 | Allegheny Energy, Inc. | 20,295 | ||||||||||||||
500 | Allegheny Technologies, Inc. | 20,360 | ||||||||||||||
1,700 | Allergan, Inc. | 104,414 | ||||||||||||||
2,900 | Allstate Corp. | 80,040 | ||||||||||||||
36,400 | Altera Corp. | 897,988 | ||||||||||||||
88,500 | S | Altria Group, Inc. | 1,975,320 | |||||||||||||
1,900 | @, S | Amazon.com, Inc. | 237,177 |
Shares | Value | |||||||||||||||
1,300 | Ameren Corp. | 36,491 | ||||||||||||||
2,600 | American Electric Power Co., Inc. | 92,066 | ||||||||||||||
50,400 | American Express Co. | 2,009,448 | ||||||||||||||
700 | @ | American International Group, Inc. | 23,751 | |||||||||||||
17,700 | @ | American Tower Corp. | 829,422 | |||||||||||||
14,400 | Ameriprise Financial, Inc. | 627,552 | ||||||||||||||
23,652 | AmerisourceBergen Corp. | 645,227 | ||||||||||||||
5,169 | @, S | Amgen, Inc. | 263,826 | |||||||||||||
16,300 | S | Amphenol Corp. | 663,736 | |||||||||||||
2,700 | Anadarko Petroleum Corp. | 124,173 | ||||||||||||||
1,600 | Analog Devices, Inc. | 44,608 | ||||||||||||||
1,500 | AON Corp. | 54,360 | ||||||||||||||
1,900 | Apache Corp. | 170,715 | ||||||||||||||
700 | @ | Apollo Group, Inc. - Class A | 29,736 | |||||||||||||
15,503 | @, S | Apple, Inc. | 3,772,965 | |||||||||||||
7,300 | Applied Materials, Inc. | 75,847 | ||||||||||||||
3,466 | Archer-Daniels-Midland Co. | 106,683 | ||||||||||||||
9,300 | Assurant, Inc. | 340,008 | ||||||||||||||
32,000 | S | AT&T, Inc. | 864,960 | |||||||||||||
1,200 | @ | Autodesk, Inc. | 33,300 | |||||||||||||
2,700 | Automatic Data Processing, Inc. | 104,247 | ||||||||||||||
400 | @ | Autonation, Inc. | 9,032 | |||||||||||||
3,600 | @ | Autozone, Inc. | 755,208 | |||||||||||||
600 | Avery Dennison Corp. | 19,512 | ||||||||||||||
2,300 | Avon Products, Inc. | 66,930 | ||||||||||||||
2,300 | Baker Hughes, Inc. | 86,434 | ||||||||||||||
500 | Ball Corp. | 28,040 | ||||||||||||||
54,340 | S | Bank of America Corp. | 676,533 | |||||||||||||
6,600 | Bank of New York Mellon Corp. | 160,182 | ||||||||||||||
3,200 | Baxter International, Inc. | 136,192 | ||||||||||||||
3,700 | BB&T Corp. | 81,844 | ||||||||||||||
1,300 | Becton Dickinson & Co. | 88,647 | ||||||||||||||
1,400 | @ | Bed Bath & Beyond, Inc. | 50,358 | |||||||||||||
552 | Bemis Co. | 15,936 | ||||||||||||||
9,000 | @ | Berkshire Hathaway, Inc. | 709,020 | |||||||||||||
1,900 | Best Buy Co., Inc. | 59,641 | ||||||||||||||
400 | @ | Big Lots, Inc. | 12,504 | |||||||||||||
1,300 | @ | Biogen Idec, Inc. | 69,940 | |||||||||||||
1,000 | @ | BMC Software, Inc. | 36,060 | |||||||||||||
16,400 | Boeing Co. | 1,002,532 | ||||||||||||||
8,200 | @, S | Boston Scientific Corp. | 42,558 | |||||||||||||
84,800 | Bristol-Myers Squibb Co. | 2,211,584 | ||||||||||||||
2,300 | Broadcom Corp. | 68,931 | ||||||||||||||
7,169 | Brown-Forman Corp. | 439,388 | ||||||||||||||
2,092 | CA, Inc. | 37,677 | ||||||||||||||
600 | Cabot Oil & Gas Corp. | 16,704 | ||||||||||||||
1,300 | @ | Cameron International Corp. | 47,814 | |||||||||||||
22,900 | Campbell Soup Co. | 853,254 | ||||||||||||||
2,500 | Capital One Financial Corp. | 94,650 | ||||||||||||||
27,600 | Cardinal Health, Inc. | 826,896 | ||||||||||||||
1,000 | @ | CareFusion Corp. | 21,580 | |||||||||||||
1,200 | @ | Carmax, Inc. | 23,916 | |||||||||||||
2,300 | Carnival Corp. | 71,714 | ||||||||||||||
3,400 | Caterpillar, Inc. | 221,544 | ||||||||||||||
1,500 | @, S | CB Richard Ellis Group, Inc. | 24,630 | |||||||||||||
3,700 | CBS Corp. - Class B | 51,134 | ||||||||||||||
2,500 | @ | Celgene Corp. | 128,800 | |||||||||||||
2,300 | CenterPoint Energy, Inc. | 34,017 | ||||||||||||||
16,900 | CenturyTel, Inc. | 611,104 | ||||||||||||||
400 | @ | Cephalon, Inc. | 22,644 | |||||||||||||
5,600 | @ | Cerner Corp. | 407,960 | |||||||||||||
400 | CF Industries Holdings, Inc. | 37,000 | ||||||||||||||
900 | CH Robinson Worldwide, Inc. | 58,491 | ||||||||||||||
5,300 | S | Charles Schwab Corp. | 67,628 | |||||||||||||
3,500 | Chesapeake Energy Corp. | 72,380 | ||||||||||||||
45,542 | S | Chevron Corp. | 3,377,395 | |||||||||||||
1,800 | Chubb Corp. | 99,216 | ||||||||||||||
1,500 | Cigna Corp. | 48,330 | ||||||||||||||
900 | Cincinnati Financial Corp. | 24,012 | ||||||||||||||
700 | Cintas Corp. | 17,843 | ||||||||||||||
30,892 | @, S | Cisco Systems, Inc. | 619,385 | |||||||||||||
122,400 | @, S | Citigroup, Inc. | 455,328 | |||||||||||||
14,900 | @ | Citrix Systems, Inc. | 863,306 | |||||||||||||
700 | Cliffs Natural Resources, Inc. | 42,833 | ||||||||||||||
800 | Clorox Co. | 51,856 | ||||||||||||||
393 | S | CME Group, Inc. | 97,495 | |||||||||||||
24,000 | CMS Energy Corp. | 420,000 | ||||||||||||||
1,700 | Coach, Inc. | 60,928 | ||||||||||||||
12,472 | Coca-Cola Co. | 697,434 | ||||||||||||||
1,800 | Coca-Cola Enterprises, Inc. | 51,228 | ||||||||||||||
24,700 | @ | Cognizant Technology Solutions Corp. | 1,422,844 | |||||||||||||
2,700 | Colgate-Palmolive Co. | 199,368 | ||||||||||||||
15,255 | S | Comcast Corp. Class A | 261,166 | |||||||||||||
16,400 | Comerica, Inc. | 564,324 | ||||||||||||||
800 | Computer Sciences Corp. | 31,848 | ||||||||||||||
1,200 | @ | Compuware Corp. | 8,616 | |||||||||||||
2,400 | ConAgra Foods, Inc. | 51,816 | ||||||||||||||
38,400 | S | ConocoPhillips | 2,013,312 | |||||||||||||
1,200 | Consol Energy, Inc. | 38,640 | ||||||||||||||
18,500 | Consolidated Edison, Inc. | 879,305 | ||||||||||||||
1,000 | @ | Constellation Brands, Inc. | 16,660 | |||||||||||||
1,100 | Constellation Energy Group, Inc. | 32,263 | ||||||||||||||
8,500 | S | Corning, Inc. | 133,280 | |||||||||||||
2,400 | Costco Wholesale Corp. | 135,720 | ||||||||||||||
800 | @ | Coventry Health Care, Inc. | 15,480 | |||||||||||||
500 | CR Bard, Inc. | 38,415 | ||||||||||||||
2,100 | CSX Corp. | 104,769 | ||||||||||||||
1,100 | Cummins, Inc. | 81,851 | ||||||||||||||
7,400 | CVS Caremark Corp. | 199,800 |
Shares | Value | |||||||||||
1,500 | D.R. Horton, Inc. | 15,390 | ||||||||||
2,800 | Danaher Corp. | 101,724 | ||||||||||
800 | Darden Restaurants, Inc. | 33,008 | ||||||||||
600 | @ | DaVita, Inc. | 38,772 | |||||||||
1,000 | @ | Dean Foods Co. | 10,230 | |||||||||
16,800 | Deere & Co. | 1,062,936 | ||||||||||
9,300 | @, S | Dell, Inc. | 109,461 | |||||||||
2,200 | @, S | Denbury Resources, Inc. | 32,428 | |||||||||
800 | Densply International, Inc. | 22,256 | ||||||||||
2,400 | Devon Energy Corp. | 144,672 | ||||||||||
300 | DeVry, Inc. | 11,433 | ||||||||||
400 | Diamond Offshore Drilling | 23,272 | ||||||||||
44,000 | @, S | DIRECTV | 1,668,480 | |||||||||
2,900 | S | Discover Financial Services | 42,079 | |||||||||
12,300 | @ | Discovery Communications, Inc. - Class A | 464,325 | |||||||||
3,200 | Dominion Resources, Inc. | 136,832 | ||||||||||
1,050 | Dover Corp. | 46,998 | ||||||||||
6,300 | Dow Chemical Co. | 153,531 | ||||||||||
20,700 | Dr Pepper Snapple Group, Inc. | 762,174 | ||||||||||
16,317 | DTE Energy Co. | 764,451 | ||||||||||
7,100 | S | Duke Energy Corp. | 122,049 | |||||||||
300 | Dun & Bradstreet Corp. | 19,770 | ||||||||||
1,090 | @ | E*Trade Financial Corp. | 13,527 | |||||||||
400 | Eastman Chemical Co. | 24,620 | ||||||||||
1,500 | @ | Eastman Kodak Co. | 5,235 | |||||||||
6,200 | Eaton Corp. | 430,776 | ||||||||||
6,116 | @, S | eBay, Inc. | 142,136 | |||||||||
1,300 | Ecolab, Inc. | 61,620 | ||||||||||
1,800 | Edison International | 60,750 | ||||||||||
32,400 | EI Du Pont de Nemours & Co. | 1,320,948 | ||||||||||
58,400 | El Paso Corp. | 665,176 | ||||||||||
1,800 | @ | Electronic Arts, Inc. | 27,432 | |||||||||
5,500 | Eli Lilly & Co. | 184,580 | ||||||||||
91,450 | @, S | EMC Corp. | 1,668,048 | |||||||||
18,948 | Emerson Electric Co. | 883,924 | ||||||||||
1,000 | Entergy Corp. | 78,840 | ||||||||||
9,800 | EOG Resources, Inc. | 851,326 | ||||||||||
800 | EQT Corp. | 26,080 | ||||||||||
700 | Equifax, Inc. | 20,629 | ||||||||||
10,300 | Estee Lauder Cos., Inc. | 577,521 | ||||||||||
3,600 | Exelon Corp. | 146,592 | ||||||||||
1,100 | Expedia, Inc. | 25,146 | ||||||||||
1,200 | Expeditors International Washington, Inc. | 47,508 | ||||||||||
23,600 | @ | Express Scripts, Inc. | 1,005,360 | |||||||||
27,669 | S | ExxonMobil Corp. | 1,636,898 | |||||||||
11,800 | Family Dollar Stores, Inc. | 504,922 | ||||||||||
700 | Fastenal Co. | 31,689 | ||||||||||
500 | Federated Investors, Inc. | 10,425 | ||||||||||
1,700 | FedEx Corp. | 132,685 | ||||||||||
1,400 | Fidelity National Information Services, Inc. | 36,176 | ||||||||||
4,326 | S | Fifth Third Bancorp. | 47,802 | |||||||||
1,223 | @ | First Horizon National Corp. | 12,328 | |||||||||
300 | @ | First Solar, Inc. | 38,355 | |||||||||
1,600 | FirstEnergy Corp. | 58,448 | ||||||||||
800 | @ | Fiserv, Inc. | 40,024 | |||||||||
15,500 | @ | Flir Systems, Inc. | 389,360 | |||||||||
300 | Flowserve Corp. | 26,814 | ||||||||||
1,000 | Fluor Corp. | 44,660 | ||||||||||
400 | FMC Corp. | 24,912 | ||||||||||
10,800 | @ | FMC Technologies, Inc. | 667,980 | |||||||||
18,400 | @, S | Ford Motor Co. | 207,736 | |||||||||
1,500 | @ | Forest Laboratories, Inc. | 40,935 | |||||||||
800 | Fortune Brands, Inc. | 35,832 | ||||||||||
800 | Franklin Resources, Inc. | 77,208 | ||||||||||
2,600 | Freeport-McMoRan Copper & Gold, Inc. | 187,148 | ||||||||||
5,400 | Frontier Communications Corp. | 41,742 | ||||||||||
800 | @ | GameStop Corp. | 14,344 | |||||||||
1,300 | Gannett Co., Inc. | 15,717 | ||||||||||
2,470 | Gap, Inc. | 41,718 | ||||||||||
2,100 | General Dynamics Corp. | 117,327 | ||||||||||
57,816 | S | General Electric Co. | 837,176 | |||||||||
3,600 | General Mills, Inc. | 130,176 | ||||||||||
900 | Genuine Parts Co. | 37,737 | ||||||||||
2,600 | @ | Genworth Financial, Inc. | 28,158 | |||||||||
1,400 | @ | Genzyme Corp. | 98,154 | |||||||||
4,800 | @ | Gilead Sciences, Inc. | 152,928 | |||||||||
2,805 | S | Goldman Sachs Group, Inc. | 384,117 | |||||||||
5,100 | Goodrich Corp. | 349,248 | ||||||||||
1,300 | @ | Goodyear Tire & Rubber Co. | 12,012 | |||||||||
1,269 | @ | Google, Inc. - Class A | 571,075 | |||||||||
1,800 | S | H&R Block, Inc. | 23,130 | |||||||||
4,900 | Halliburton Co. | 138,229 | ||||||||||
1,300 | Harley-Davidson, Inc. | 31,616 | ||||||||||
400 | @ | Harman International Industries, Inc. | 12,468 | |||||||||
11,543 | Harris Corp. | 485,614 | ||||||||||
2,400 | Hartford Financial Services Group, Inc. | 48,384 | ||||||||||
11,800 | Hasbro, Inc. | 476,248 | ||||||||||
600 | Helmerich & Payne, Inc. | 22,224 | ||||||||||
900 | Hershey Co. | 41,823 | ||||||||||
1,600 | Hess Corp. | 80,400 | ||||||||||
12,609 | Hewlett-Packard Co. | 485,194 | ||||||||||
22,600 | HJ Heinz Co. | 1,045,024 | ||||||||||
9,100 | Home Depot, Inc. | 253,071 | ||||||||||
4,100 | Honeywell International, Inc. | 160,269 | ||||||||||
400 | Hormel Foods Corp. | 17,260 | ||||||||||
14,500 | @ | Hospira, Inc. | 744,720 | |||||||||
2,581 | S | Hudson City Bancorp., Inc. | 29,746 | |||||||||
7,386 | @, S | Humana, Inc. | 352,977 | |||||||||
3,900 | S | Huntington Bancshares, Inc. | 20,631 |
Shares | Value | |||||||||||
2,100 | Illinois Tool Works, Inc. | 86,646 | ||||||||||
6,991 | Integrys Energy Group, Inc. | 338,714 | ||||||||||
30,102 | Intel Corp. | 533,407 | ||||||||||
400 | @ | IntercontinentalExchange, Inc. | 38,224 | |||||||||
6,989 | S | International Business Machines Corp. | 861,254 | |||||||||
7,300 | International Flavors & Fragrances, Inc. | 333,537 | ||||||||||
1,600 | International Game Technology | 23,360 | ||||||||||
2,368 | International Paper Co. | 48,449 | ||||||||||
2,600 | @ | Interpublic Group of Cos., Inc. | 22,178 | |||||||||
32,700 | @ | Intuit, Inc. | 1,399,560 | |||||||||
2,500 | @ | Intuitive Surgical, Inc. | 662,575 | |||||||||
2,500 | @ | Invesco Ltd. | 45,250 | |||||||||
1,000 | Iron Mountain, Inc. | 20,280 | ||||||||||
986 | ITT Corp. | 41,905 | ||||||||||
1,000 | S | Jabil Circuit, Inc. | 10,250 | |||||||||
700 | @ | Jacobs Engineering Group, Inc. | 24,276 | |||||||||
1,000 | S | Janus Capital Group, Inc. | 9,080 | |||||||||
1,300 | JC Penney Co., Inc. | 26,000 | ||||||||||
1,200 | @ | JDS Uniphase Corp. | 11,028 | |||||||||
600 | JM Smucker Co. | 35,088 | ||||||||||
14,975 | S | Johnson & Johnson | 853,875 | |||||||||
3,600 | Johnson Controls, Inc. | 95,508 | ||||||||||
21,557 | JP Morgan Chase & Co. | 783,813 | ||||||||||
2,800 | @ | Juniper Networks, Inc. | 76,160 | |||||||||
1,400 | Kellogg Co. | 69,552 | ||||||||||
4,800 | Keycorp | 35,376 | ||||||||||
2,245 | Kimberly-Clark Corp. | 144,578 | ||||||||||
1,400 | @ | King Pharmaceuticals, Inc. | 12,194 | |||||||||
900 | KLA-Tencor Corp. | 25,209 | ||||||||||
1,700 | @ | Kohls Corp. | 79,866 | |||||||||
9,400 | Kraft Foods, Inc. | 281,530 | ||||||||||
3,500 | Kroger Co. | 69,055 | ||||||||||
600 | L-3 Communications Holdings, Inc. | 39,960 | ||||||||||
600 | @ | Laboratory Corp. of America Holdings | 43,572 | |||||||||
900 | Legg Mason, Inc. | 22,797 | ||||||||||
800 | Leggett & Platt, Inc. | 15,336 | ||||||||||
900 | Lennar Corp. | 11,853 | ||||||||||
1,000 | @ | Leucadia National Corp. | 21,350 | |||||||||
400 | @ | Lexmark International, Inc. | 13,996 | |||||||||
1,000 | @ | Life Technologies Corp. | 42,770 | |||||||||
27,000 | Limited Brands, Inc. | 637,200 | ||||||||||
1,600 | Lincoln National Corp. | 37,376 | ||||||||||
1,200 | Linear Technology Corp. | 34,380 | ||||||||||
1,640 | Lockheed Martin Corp. | 114,013 | ||||||||||
1,900 | Loews Corp. | 66,766 | ||||||||||
800 | Lorillard, Inc. | 60,808 | ||||||||||
7,700 | Lowes Cos., Inc. | 156,310 | ||||||||||
3,500 | @ | LSI Logic Corp. | 14,070 | |||||||||
6,900 | M&T Bank Corp. | 590,916 | ||||||||||
2,300 | Macys, Inc. | 44,712 | ||||||||||
3,800 | Marathon Oil Corp. | 115,862 | ||||||||||
1,400 | Marriott International, Inc. | 44,814 | ||||||||||
2,900 | Marsh & McLennan Cos., Inc. | 68,788 | ||||||||||
2,900 | Marshall & Ilsley Corp. | 18,995 | ||||||||||
1,900 | Masco Corp. | 19,931 | ||||||||||
600 | Massey Energy Co. | 17,250 | ||||||||||
500 | Mastercard, Inc. | 99,180 | ||||||||||
2,000 | Mattel, Inc. | 41,980 | ||||||||||
800 | @ | McAfee, Inc. | 37,640 | |||||||||
10,700 | McCormick & Co., Inc. | 426,609 | ||||||||||
42,300 | McDonalds Corp. | 3,090,426 | ||||||||||
1,700 | McGraw-Hill Cos., Inc. | 47,005 | ||||||||||
1,489 | McKesson Corp. | 86,436 | ||||||||||
17,700 | Mead Johnson Nutrition Co. | 923,763 | ||||||||||
900 | MeadWestvaco Corp. | 19,584 | ||||||||||
2,300 | @ | Medco Health Solutions, Inc. | 100,004 | |||||||||
6,000 | Medtronic, Inc. | 188,880 | ||||||||||
1,200 | @ | MEMC Electronic Materials, Inc. | 12,348 | |||||||||
69,027 | Merck & Co., Inc. | 2,426,989 | ||||||||||
200 | Meredith Corp. | 5,852 | ||||||||||
4,800 | Metlife, Inc. | 180,480 | ||||||||||
1,400 | @ | MetroPCS Communications, Inc. | 12,516 | |||||||||
20,200 | Microchip Technology, Inc. | 559,338 | ||||||||||
4,600 | @, S | Micron Technology, Inc. | 29,739 | |||||||||
41,262 | S | Microsoft Corp. | 968,832 | |||||||||
700 | Molex, Inc. | 12,355 | ||||||||||
900 | Molson Coors Brewing Co. | 39,204 | ||||||||||
3,000 | Monsanto Co. | 157,950 | ||||||||||
700 | @ | Monster Worldwide, Inc. | 7,721 | |||||||||
1,100 | S | Moodys Corp. | 23,254 | |||||||||
7,600 | Morgan Stanley | 187,644 | ||||||||||
12,600 | @, S | Motorola, Inc. | 94,878 | |||||||||
1,000 | Murphy Oil Corp. | 53,560 | ||||||||||
1,700 | @, S | Mylan Laboratories | 29,172 | |||||||||
800 | @, S | Nasdaq Stock Market, Inc. | 14,328 | |||||||||
2,240 | National Oilwell Varco, Inc. | 84,202 | ||||||||||
1,300 | National Semiconductor Corp. | 16,393 | ||||||||||
26,500 | @ | NetApp, Inc. | 1,071,660 | |||||||||
600 | @ | New York Times Co. | 4,308 | |||||||||
1,500 | Newell Rubbermaid, Inc. | 22,530 | ||||||||||
16,400 | Newmont Mining Corp. | 1,005,648 | ||||||||||
12,200 | S | News Corp. - Class A | 153,354 | |||||||||
2,200 | NextEra Energy, Inc. | 118,206 | ||||||||||
292 | Nicor, Inc. | 12,349 | ||||||||||
2,100 | Nike, Inc. | 147,000 | ||||||||||
1,500 | S | NiSource, Inc. | 26,010 | |||||||||
900 | Noble Energy, Inc. | 62,802 | ||||||||||
900 | Nordstrom, Inc. | 26,028 | ||||||||||
2,000 | Norfolk Southern Corp. | 107,360 |
Shares | Value | |||||||||||||||
14,700 | Northeast Utilities | 425,859 | ||||||||||||||
1,300 | Northern Trust Corp. | 59,982 | ||||||||||||||
1,600 | Northrop Grumman Corp. | 86,592 | ||||||||||||||
42,900 | @ | Novell, Inc. | 241,098 | |||||||||||||
500 | @ | Novellus Systems, Inc. | 11,650 | |||||||||||||
1,400 | @ | NRG Energy, Inc. | 28,448 | |||||||||||||
1,700 | Nucor Corp. | 62,526 | ||||||||||||||
3,100 | @ | Nvidia Corp. | 28,923 | |||||||||||||
1,400 | NYSE Euronext | 38,836 | ||||||||||||||
4,400 | Occidental Petroleum Corp. | 321,552 | ||||||||||||||
1,500 | @ | Office Depot, Inc. | 5,115 | |||||||||||||
1,700 | Omnicom Group | 59,517 | ||||||||||||||
600 | Oneok, Inc. | 25,746 | ||||||||||||||
21,175 | S | Oracle Corp. | 463,309 | |||||||||||||
700 | @ | OReilly Automotive, Inc. | 33,089 | |||||||||||||
900 | @ | Owens-Illinois, Inc. | 22,554 | |||||||||||||
2,000 | Paccar, Inc. | 81,980 | ||||||||||||||
2,000 | Pacific Gas & Electric Co. | 93,520 | ||||||||||||||
700 | @ | Pactiv Corp. | 22,456 | |||||||||||||
600 | Pall Corp. | 20,514 | ||||||||||||||
900 | Parker Hannifin Corp. | 53,244 | ||||||||||||||
500 | Patterson Cos., Inc. | 12,645 | ||||||||||||||
1,700 | Paychex, Inc. | 42,313 | ||||||||||||||
1,500 | Peabody Energy Corp. | 64,200 | ||||||||||||||
2,000 | Peoples United Financial, Inc. | 25,440 | ||||||||||||||
1,200 | Pepco Holdings, Inc. | 21,540 | ||||||||||||||
8,700 | PepsiCo, Inc. | 558,366 | ||||||||||||||
600 | PerkinElmer, Inc. | 12,606 | ||||||||||||||
43,655 | Pfizer, Inc. | 695,424 | ||||||||||||||
10,004 | Philip Morris International, Inc. | 514,606 | ||||||||||||||
10,600 | Pinnacle West Capital Corp. | 422,410 | ||||||||||||||
600 | Pioneer Natural Resources Co. | 34,692 | ||||||||||||||
1,100 | Pitney Bowes, Inc. | 21,164 | ||||||||||||||
29,900 | PNC Financial Services Group, Inc. | 1,523,704 | ||||||||||||||
400 | Polo Ralph Lauren Corp. | 30,296 | ||||||||||||||
900 | PPG Industries, Inc. | 59,247 | ||||||||||||||
2,500 | PPL Corp. | 67,900 | ||||||||||||||
1,700 | Praxair, Inc. | 146,251 | ||||||||||||||
800 | Precision Castparts Corp. | 90,544 | ||||||||||||||
300 | @ | Priceline.com, Inc. | 87,444 | |||||||||||||
1,700 | Principal Financial Group, Inc. | 39,185 | ||||||||||||||
15,550 | S | Procter & Gamble Co. | 927,869 | |||||||||||||
1,600 | Progress Energy, Inc. | 68,656 | ||||||||||||||
3,600 | Progressive Corp. | 71,280 | ||||||||||||||
18,500 | Prudential Financial, Inc. | 935,545 | ||||||||||||||
2,700 | Public Service Enterprise Group, Inc. | 86,292 | ||||||||||||||
1,700 | @ | Pulte Homes, Inc. | 13,651 | |||||||||||||
900 | QEP Resources, Inc. | 26,127 | ||||||||||||||
600 | @ | QLogic Corp. | 8,937 | |||||||||||||
8,905 | Qualcomm, Inc. | 341,151 | ||||||||||||||
1,100 | @ | Quanta Services, Inc. | 19,734 | |||||||||||||
800 | Quest Diagnostics | 34,800 | ||||||||||||||
175,300 | Qwest Communications International, Inc. | 990,445 | ||||||||||||||
700 | RadioShack Corp. | 12,936 | ||||||||||||||
900 | Range Resources Corp. | 30,429 | ||||||||||||||
2,100 | Raytheon Co. | 92,232 | ||||||||||||||
24,000 | @ | Red Hat, Inc. | 829,200 | |||||||||||||
6,500 | S | Regions Financial Corp. | 41,795 | |||||||||||||
1,800 | Republic Services, Inc. | 52,974 | ||||||||||||||
19,100 | S | Reynolds American, Inc. | 1,041,714 | |||||||||||||
800 | Robert Half International, Inc. | 17,264 | ||||||||||||||
7,000 | Rockwell Automation, Inc. | 357,980 | ||||||||||||||
900 | Rockwell Collins, Inc. | 48,537 | ||||||||||||||
4,500 | Roper Industries, Inc. | 261,360 | ||||||||||||||
700 | Ross Stores, Inc. | 34,741 | ||||||||||||||
600 | @ | Rowan Cos., Inc. | 15,426 | |||||||||||||
1,100 | S | RR Donnelley & Sons Co. | 16,660 | |||||||||||||
300 | Ryder System, Inc. | 11,511 | ||||||||||||||
2,100 | Safeway, Inc. | 39,480 | ||||||||||||||
1,600 | @ | SAIC, Inc. | 23,808 | |||||||||||||
9,600 | @ | Salesforce.com, Inc. | 1,054,848 | |||||||||||||
1,200 | @ | Sandisk Corp. | 39,888 | |||||||||||||
57,300 | S | Sara Lee Corp. | 827,412 | |||||||||||||
600 | SCANA Corp. | 23,418 | ||||||||||||||
7,405 | Schlumberger Ltd. | 394,909 | ||||||||||||||
500 | Scripps Networks Interactive - Class A | 20,090 | ||||||||||||||
900 | Sealed Air Corp. | 18,459 | ||||||||||||||
300 | @ | Sears Holding Corp. | 18,570 | |||||||||||||
1,300 | Sempra Energy | 66,196 | ||||||||||||||
500 | Sherwin-Williams Co. | 35,190 | ||||||||||||||
700 | Sigma-Aldrich Corp. | 37,219 | ||||||||||||||
2,600 | @, S | SLM Corp. | 28,730 | |||||||||||||
300 | Snap-On, Inc. | 12,369 | ||||||||||||||
4,500 | Southern Co. | 165,105 | ||||||||||||||
4,000 | Southwest Airlines Co. | 44,200 | ||||||||||||||
1,900 | @ | Southwestern Energy Co. | 62,168 | |||||||||||||
41,200 | Spectra Energy Corp. | 838,008 | ||||||||||||||
16,100 | @, S | Sprint Nextel Corp. | 65,688 | |||||||||||||
1,800 | @ | St. Jude Medical, Inc. | 62,226 | |||||||||||||
8,100 | Stanley Black & Decker, Inc. | 434,484 | ||||||||||||||
4,000 | Staples, Inc. | 71,080 | ||||||||||||||
4,000 | Starbucks Corp. | 91,960 | ||||||||||||||
1,000 | Starwood Hotels & Resorts Worldwide, Inc. | 46,730 | ||||||||||||||
2,723 | State Street Corp. | 95,523 | ||||||||||||||
7,700 | @ | Stericycle, Inc. | 504,350 | |||||||||||||
1,500 | Stryker Corp. | 64,785 | ||||||||||||||
9,600 | Sunoco, Inc. | 323,328 | ||||||||||||||
2,700 | SunTrust Bank | 60,723 | ||||||||||||||
1,100 | S | Supervalu, Inc. | 10,692 |
Shares | Value | |||||||||||||||
4,300 | @, S | Symantec Corp. | 58,609 | |||||||||||||
38,400 | Sysco Corp. | 1,055,616 | ||||||||||||||
1,400 | T. Rowe Price Group, Inc. | 61,292 | ||||||||||||||
4,008 | Target Corp. | 205,049 | ||||||||||||||
1,200 | TECO Energy, Inc. | 20,256 | ||||||||||||||
2,100 | Tellabs, Inc. | 14,910 | ||||||||||||||
2,400 | @, S | Tenet Healthcare Corp. | 9,408 | |||||||||||||
900 | @, S | Teradata Corp. | 29,466 | |||||||||||||
1,000 | @ | Teradyne, Inc. | 8,980 | |||||||||||||
800 | S | Tesoro Corp. | 8,984 | |||||||||||||
6,600 | S | Texas Instruments, Inc. | 151,998 | |||||||||||||
1,500 | Textron, Inc. | 25,605 | ||||||||||||||
2,186 | @ | Thermo Fisher Scientific, Inc. | 92,074 | |||||||||||||
12,100 | Tiffany & Co. | 479,523 | ||||||||||||||
25,100 | Time Warner Cable, Inc. | 1,295,411 | ||||||||||||||
6,200 | Time Warner, Inc. | 185,876 | ||||||||||||||
500 | @ | Titanium Metals Corp. | 9,060 | |||||||||||||
2,200 | TJX Cos., Inc. | 87,318 | ||||||||||||||
6,700 | Torchmark Corp. | 330,645 | ||||||||||||||
1,100 | Total System Services, Inc. | 15,620 | ||||||||||||||
2,571 | Travelers Cos., Inc. | 125,928 | ||||||||||||||
1,700 | Tyson Foods, Inc. | 27,846 | ||||||||||||||
2,700 | Union Pacific Corp. | 196,938 | ||||||||||||||
17,600 | United Parcel Service, Inc. - Class B | 1,122,880 | ||||||||||||||
800 | United States Steel Corp. | 34,008 | ||||||||||||||
19,733 | United Technologies Corp. | 1,286,789 | ||||||||||||||
6,195 | UnitedHealth Group, Inc. | 196,505 | ||||||||||||||
1,798 | UnumProvident Corp. | 36,050 | ||||||||||||||
700 | @ | Urban Outfitters, Inc. | 21,224 | |||||||||||||
10,420 | US Bancorp. | 216,736 | ||||||||||||||
3,100 | Valero Energy Corp. | 48,887 | ||||||||||||||
7,900 | @ | Varian Medical Systems, Inc. | 420,596 | |||||||||||||
25,600 | @ | VeriSign, Inc. | 745,728 | |||||||||||||
15,355 | S | Verizon Communications, Inc. | 453,126 | |||||||||||||
500 | VF Corp. | 35,310 | ||||||||||||||
3,300 | Viacom - Class B | 103,686 | ||||||||||||||
2,400 | Visa, Inc. | 165,552 | ||||||||||||||
700 | Vulcan Materials Co. | 25,732 | ||||||||||||||
5,300 | Walgreen Co. | 142,464 | ||||||||||||||
11,267 | S | Wal-Mart Stores, Inc. | 564,927 | |||||||||||||
10,600 | Walt Disney Co. | 345,454 | ||||||||||||||
2,600 | Waste Management, Inc. | 86,034 | ||||||||||||||
6,900 | @ | Waters Corp. | 417,588 | |||||||||||||
600 | @ | Watson Pharmaceuticals, Inc. | 25,842 | |||||||||||||
2,200 | @ | WellPoint, Inc. | 109,296 | |||||||||||||
28,171 | Wells Fargo & Co. | 663,427 | ||||||||||||||
1,200 | @ | Western Digital Corp. | 28,980 | |||||||||||||
3,600 | S | Western Union Co. | 56,448 | |||||||||||||
1,100 | Weyerhaeuser Co. | 17,270 | ||||||||||||||
400 | Whirlpool Corp. | 29,664 | ||||||||||||||
900 | @ | Whole Foods Market, Inc. | 31,311 | |||||||||||||
31,700 | S | Williams Cos., Inc. | 574,721 | |||||||||||||
2,600 | Windstream Corp. | 29,991 | ||||||||||||||
600 | Wisconsin Energy Corp. | 33,444 | ||||||||||||||
3,200 | WW Grainger, Inc. | 338,528 | ||||||||||||||
1,000 | Wyndham Worldwide Corp. | 23,190 | ||||||||||||||
400 | Wynn Resorts Ltd. | 32,244 | ||||||||||||||
2,500 | Xcel Energy, Inc. | 55,775 | ||||||||||||||
7,500 | S | Xerox Corp. | 63,300 | |||||||||||||
29,900 | Xilinx, Inc. | 722,085 | ||||||||||||||
6,400 | @, S | Yahoo!, Inc. | 83,712 | |||||||||||||
2,500 | Yum! Brands, Inc. | 104,250 | ||||||||||||||
1,100 | @ | Zimmer Holdings, Inc. | 51,887 | |||||||||||||
900 | Zions Bancorp. | 16,587 | ||||||||||||||
122,222,025 | ||||||||||||||||
Total Common Stock (Cost $220,438,418) |
216,936,827 | |||||||||||||||
REAL ESTATE INVESTMENT TRUSTS: | 4.0% | |||||||||||||||
Australia: | 0.3% | |||||||||||||||
66,777 | CFS Retail Property Trust | 115,135 | ||||||||||||||
115,766 | Macquarie Goodman Group | 65,756 | ||||||||||||||
100,204 | Mirvac Group | 119,902 | ||||||||||||||
30,097 | Westfield Group | 336,427 | ||||||||||||||
637,220 | ||||||||||||||||
France: | 0.0% | |||||||||||||||
371 | ICADE | 35,148 | ||||||||||||||
538 | Unibail | 101,037 | ||||||||||||||
136,185 | ||||||||||||||||
Hong Kong: | 0.1% | |||||||||||||||
51,500 | Link Real Estate Investment Trust | 150,861 | ||||||||||||||
150,861 | ||||||||||||||||
Japan: | 0.1% | |||||||||||||||
46 | Japan Prime Realty Investment Corp. | 102,662 | ||||||||||||||
13 | Japan Real Estate Investment Corp. | 115,430 | ||||||||||||||
86 | Japan Retail Fund Investment Corp. | 115,090 | ||||||||||||||
333,182 | ||||||||||||||||
Singapore: | 0.1% | |||||||||||||||
64,550 | Ascendas Real Estate Investment Trust | 98,929 | ||||||||||||||
64,000 | CapitaMall Trust | 91,991 | ||||||||||||||
190,920 | ||||||||||||||||
United Kingdom: | 0.1% | |||||||||||||||
19,664 | British Land Co. PLC | 137,006 | ||||||||||||||
16,095 | Land Securities Group PLC | 150,261 | ||||||||||||||
6,099 | Segro PLC | 25,161 | ||||||||||||||
312,428 | ||||||||||||||||
United States: | 3.3% | |||||||||||||||
600 | S | Apartment Investment & Management Co. | 12,264 | |||||||||||||
5,900 | AvalonBay Communities, Inc. | 620,798 |
Shares | Value | |||||||||||||||
7,600 | Boston Properties, Inc. | 618,640 | ||||||||||||||
19,200 | Equity Residential | 879,936 | ||||||||||||||
20,000 | HCP, Inc. | 704,400 | ||||||||||||||
700 | Health Care Real Estate Investment Trust, Inc. | 32,158 | ||||||||||||||
3,600 | Host Hotels & Resorts, Inc. | 47,268 | ||||||||||||||
2,200 | Kimco Realty Corp. | 32,802 | ||||||||||||||
900 | Plum Creek Timber Co., Inc. | 31,023 | ||||||||||||||
34,300 | S | Prologis | 372,155 | |||||||||||||
12,000 | Public Storage, Inc. | 1,176,240 | ||||||||||||||
15,769 | Simon Property Group, Inc. | 1,426,306 | ||||||||||||||
12,000 | Ventas, Inc. | 606,120 | ||||||||||||||
11,600 | Vornado Realty Trust | 940,296 | ||||||||||||||
7,500,406 | ||||||||||||||||
Total Real Estate Investment Trusts (Cost $8,944,541) |
9,261,202 | |||||||||||||||
EXCHANGE-TRADED FUNDS: | 0.7 | % | ||||||||||||||
Developed Markets: | 0.7% | |||||||||||||||
32,000 | iShares MSCI EAFE Index Fund | 1,598,400 | ||||||||||||||
Total Exchange-Traded Funds (Cost $1,588,683) |
1,598,400 | |||||||||||||||
PREFERRED STOCK: | 0.5 | % | ||||||||||||||
Germany: | 0.5% | |||||||||||||||
9,412 | Henkel KGaA - Vorzug | 441,138 | ||||||||||||||
2,857 | RWE AG | 175,624 | ||||||||||||||
5,073 | Volkswagen AG | 503,749 | ||||||||||||||
Total Preferred Stock (Cost $1,147,307) |
1,120,511 | |||||||||||||||
Total Long-Term Investments (Cost $232,118,949) |
228,916,940 | |||||||||||||||
SHORT-TERM INVESTMENTS: | 1.0 | % | ||||||||||||||
Affiliated Mutual Fund: | 1.0% | |||||||||||||||
2,243,000 | ING Institutional Prime Money Market Fund - Class I | 2,243,000 | ||||||||||||||
Total Mutual Fund (Cost $2,243,000) |
2,243,000 | |||||||||||||||
Total Short-Term Investments (Cost $2,243,000) |
2,243,000 | |||||||||||||||
Total Investments in Securities (Cost $234,361,949)* |
101.5 | % | $ | 231,159,940 | ||||||||||||
Other Assets and Liabilities - Net | (1.5 | ) | (3,503,923 | ) | ||||||||||||
Net Assets | 100.0 | % | $ | 227,656,017 | ||||||||||||
@ | Non-income producing security | |
S | All or a portion of this security has been identified by the Fund to cover future collateral requirements for applicable futures, options, swaps, foreign currency contracts and/or when-issued or delayed-delivery securities. |
Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-end Management Investment Companies.
Not applicable.
Item 8. Portfolio Managers of Closed-end Management Investment Companies.
Not applicable.
Item 9. Purchases of Equity Securities by Closed-end Management Investment Company and Affiliated Purchasers.
Not applicable.
Item 10. Submission of Matters to a Vote of Security Holders.
The Board has a Nominating Committee for the purpose of considering and presenting to the Board candidates it proposes for nomination to fill Independent Trustee vacancies on the Board. The Committee currently consists of all Independent Trustees of the Board. (6 individuals). The Nominating Committee operates pursuant to a Charter approved by the Board. The primary purpose of the Nominating Committee is to consider and present to the Board the candidates it proposes for nomination to fill vacancies on the Board. In evaluating candidates, the Nominating Committee may consider a variety of factors, but it has not at this time set any specific minium qualifications that must be met. Specific qualifications of candidates for Board membership will be based on the needs of the Board at the time of nomination.
The Nominating Committee is willing to consider nominations received from shareholders and shall assess shareholder nominees in the same manner as it reviews its own nominees. A shareholder nominee for director should be submitted in writing to the Funds Secretary. Any such shareholder nomination should include at a minimum the following information as to each individual proposed for nomination as trustee: such individuals written consent to be named in the proxy statement as a nominee (if nominated) and to serve as a trustee (if elected), and all information relating to such individual that is required to be disclosed in the solicitation of proxies for election of trustees, or is otherwise required, in each case under applicable federal securities laws, rules and regulations.
The secretary shall submit all nominations received in a timely manner to the Nominating Committee. To be timely, any such submission must be delivered to the Funds Secretary not earlier than the 90th day prior to such meeting and not later than the close of business on the later of the 60th day prior to such meeting or the 10th day following the day on which public announcement of the date of the meeting is first made, by either disclosure in a press release or in a document publicly filed by the Fund with the Securities and Exchange Commission.
Item 11. Controls and Procedures.
(a) | Based on our evaluation conducted within 90 days of the filing date, hereof, the design and operation of the registrants disclosure controls and procedures are effective to ensure that material information relating to the registrant is made known to the certifying officers by others within the appropriate entities, particularly during the period in which Forms N-CSR are being prepared, and the registrants disclosure controls and procedures allow timely preparation and review of the information for the registrants Form N-CSR and the officer certifications of such Form N-CSR. | |||
(b) | There were no significant changes in the registrants internal controls that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrants internal control over financial reporting. |
Item 12. Exhibits.
(a)(1) | The Code of Ethics is not required for the semi-annual filing. | |||
(a)(2) | A separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2 under the Act (17 CFR 270.30a-2) is attached hereto as EX-99.CERT. | |||
(a)(3) | Not required for semi-annual filing. | |||
(b) | The officer certifications required by Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto as EX-99.906CERT. |
SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
(Registrant): ING Global Advantage and Premium Opportunity Fund
By
|
/s/ Shaun P. Mathews
|
|||
President and Chief Executive Officer |
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.
By
|
/s/ Shaun P. Mathews
|
|||
President and Chief Executive Officer |
By
|
/s/ Todd Modic
|
|||
Senior Vice President and Chief Financial Officer |