SECURITIES AND EXCHANGE COMMISSION
Washington, D. C. 20549
FORM 11-K
ANNUAL REPORT
Pursuant to Section 15 (d) of the
Securities Exchange Act of 1934
For the fiscal year ended December 31, 2011
Commission File No. 1-442
THE BOEING COMPANY VOLUNTARY INVESTMENT PLAN
THE BOEING COMPANY
100 N. Riverside Plaza
Chicago, Illinois 60606-1596
The Boeing Company
Voluntary Investment Plan
Employer ID No: 91-0425694
Plan Number: 002
Financial Statements as of December 31, 2011 and 2010, and for the Year Ended December 31, 2011, Supplemental Schedules as of and for the Year Ended December 31, 2011, and Report of Independent Registered Public Accounting Firm
THE BOEING COMPANY VOLUNTARY INVESTMENT PLAN
Page | ||
1 | ||
FINANCIAL STATEMENTS: |
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Statements of Net Assets Available for Benefits as of December 31, 2011 and 2010 |
2 | |
Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2011 |
3 | |
4 - 23 | ||
SUPPLEMENTAL SCHEDULES AS OF AND FOR THE YEAR ENDED DECEMBER 31, 2011 |
24 | |
25 | ||
26 - 116 | ||
NOTE: All other schedules required by Section 2520.103-10 of the Department of Labors Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable or are not required. |
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
To the Employee Benefit Plans Committee and
Members of The Boeing Company Voluntary Investment Plan
The Boeing Company
Chicago, Illinois
We have audited the accompanying statements of net assets available for benefits of The Boeing Company Voluntary Investment Plan (the Plan) as of December 31, 2011 and 2010, and the related statement of changes in net assets available for benefits for the year ended December 31, 2011. These financial statements are the responsibility of the Plans management. Our responsibility is to express an opinion on these financial statements based on our audits.
We conducted our audits in accordance with standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plans internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2011 and 2010, and the change in net assets available for benefits for the year ended December 31, 2011, in conformity with accounting principles generally accepted in the United States of America.
Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules listed in the table of contents are presented for the purpose of additional analysis and are not a required part of the basic financial statements but are supplementary information required by the Department of Labors Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. These schedules are the responsibility of the Plans management. Such schedules have been subjected to the auditing procedures applied in our audit of the basic 2011 financial statements and, in our opinion, are fairly stated in all material respects when considered in relation to the basic financial statements taken as a whole.
/s/ DELOITTE & TOUCHE LLP
Seattle, Washington
June 26, 2012
THE BOEING COMPANY VOLUNTARY INVESTMENT PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
AS OF DECEMBER 31, 2011 AND 2010
2011 | 2010 | |||||||
ASSETS: |
||||||||
Investments at fair value interest in Master Trust |
$ | 33,086,148,540 | $ | 30,695,409,007 | ||||
|
|
|
|
|||||
Receivables: |
||||||||
Employer contributions |
26,344,971 | 24,232,625 | ||||||
Loans to Members |
648,275,867 | 637,920,018 | ||||||
|
|
|
|
|||||
674,620,838 | 662,152,643 | |||||||
|
|
|
|
|||||
NET ASSETS AVAILABLE FOR BENEFITS At fair value |
33,760,769,378 | 31,357,561,650 | ||||||
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE FOR FULLY BENEFIT-RESPONSIVE INVESTMENT CONTRACTS |
(503,020,047 | ) | (345,506,326 | ) | ||||
|
|
|
|
|||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ | 33,257,749,331 | $ | 31,012,055,324 | ||||
|
|
|
|
See notes to financial statements.
- 2 -
THE BOEING COMPANY VOLUNTARY INVESTMENT PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
FOR THE YEAR ENDED DECEMBER 31, 2011
ADDITIONS: |
||||
Net Master Trust activity |
$ | 840,518,613 | ||
|
|
|||
Income from loans |
26,163,004 | |||
|
|
|||
Contributions: |
||||
Employer |
632,908,216 | |||
Member |
1,462,201,358 | |||
|
|
|||
Total contributions |
2,095,109,574 | |||
|
|
|||
Total additions |
2,961,791,191 | |||
DEDUCTIONS Benefits paid |
1,659,421,856 | |||
|
|
|||
NET ADDITIONS |
1,302,369,335 | |||
ASSETS TRANSFERRED FROM OTHER PLANS |
943,324,672 | |||
NET ASSETS AVAILABLE FOR BENEFITS: |
||||
Beginning of year |
31,012,055,324 | |||
|
|
|||
End of year |
$ | 33,257,749,331 | ||
|
|
See notes to financial statements.
- 3 -
THE BOEING COMPANY VOLUNTARY INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS
AS OF DECEMBER 31, 2011 AND 2010 AND FOR THE YEAR ENDED DECEMBER 31, 2011
1. | DESCRIPTION OF PLAN |
The following description of The Boeing Company Voluntary Investment Plan (the VIP or the Plan) provides only general information. Participants, as defined by the Plan (Members), should refer to the Plan document for a more complete description of the Plans provisions.
General The Plan is a defined contribution savings plan designed to provide Members with a means of making regular savings to provide additional security for their retirement. Effective September 30, 2011, the net assets and liabilities of a defined contribution profit-sharing plan, The Boeing Company Employee Financial Security Plan (FSP), were transferred into the Plan. The FSP balances provide for salary continuation during extended illness of certain bargaining units of active employees or disbursement of remaining account balance at termination. An employee becomes eligible to participate on the first day of employment.
Eligible employees (non-union or represented by a collective bargaining agent that has negotiated for its members to be eligible for automatic enrollment) who are hired or rehired on or after January 1, 2010, will automatically become Members.
The assets of the Plan, excluding loans and receivables, are held in The Boeing Company Employee Savings Plans Master Trust (the Master Trust). State Street Bank and Trust Company (SSBT) serves as trustee for the Master Trust. The Employee Benefit Plans Committee controls and manages the operation and administration of the Plan. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).
Contributions Members may elect to contribute to the Plan from pretax, after-tax, or a combination of both and subject to statutory limitations, between 1% and 25% of their base compensation. Certain eligible employees are allowed to make catch-up contributions. This provision is available to Members of age 50 or older during the plan year and who contribute either at least 8% in pretax contributions or have reached a specified limit for the plan year. The Plan also accepts certain rollover contributions.
Under the terms of the Plan, The Boeing Company (the Company or Boeing) does make matching and Company contributions for eligible Members. Members should refer to the Plan document for details.
Members may elect to change contribution percentages to be effective the next pay period after the request is received, or as soon as administratively possible. The allocation of both their contributions and employer contributions to the funds may be changed at any time and become effective on the day of the change or the next business day according to the time of the request for a change in relation to the stock market close of business.
Members Accounts Individual accounts are maintained for each Plan Member. Each Members account is credited with the Members contribution and Companys contribution, allocations of Plan earnings (losses) from the funds in which the account is invested, and charged with an allocation of certain administrative and investment-related expenses, and Member specific charges, if applicable. Allocations are based on Member earnings or account balances, as defined by the Plan document. The benefit to which a Member is entitled is the benefit that can be provided from the Members account.
- 4 -
Investment Funds Upon enrollment in the Plan, Members may direct their contributions and any employer-matching contributions to 19 of the investment funds in the Master Trust. These 19 investment funds consisted of common/collective trusts, separately managed U.S. equity accounts, separately managed non-U.S. equity accounts, a stable value fund (composed of six synthetic guaranteed investment contracts (synthetic GICs)), and Boeing common stock, which is the Boeing Employee Stock Option Plan Stock Fund, a dividend payout program, as of December 31, 2011. Investment funds are valued daily and Members may elect to change their investment allocations on a daily basis.
Vesting Member contributions, both pretax and after-tax, employer-matching contributions, profit-sharing contributions, and earnings on those contributions are immediately vested.
Withdrawals Members may elect to withdraw all or a portion of their own pretax contribution accounts, after-tax contribution accounts, employer-matching accounts, profit-sharing accounts, and rollover accounts at any time on or after the day the Member attains age 59-1/2. If a Member is under age 59-1/2, withdrawals from pretax contribution accounts are subject to certain hardship rules as provided by the Plan. If a Member takes a hardship withdrawal, the Member may continue contributions to the Plan; however, employer-matching contributions will be suspended for six months following the withdrawal.
In addition, a Member may elect to withdraw all or part of his or her employer-matching account before the Member attains age 59-1/2, but only if the Member has attained his or her fifth anniversary of employment. If such a withdrawal is made, employer-matching contributions will be suspended for six months following the withdrawal. Company contributions may be fully withdrawn upon termination of employment. Withdrawals of after-tax contributions and rollover contributions can be made at any time.
Finally, in the event of illness or injury and if a Member has used all of his or her regular sick leave benefits, a Member with a FSP balance may elect to withdraw, subject to Plan requirements, all or a portion of his or her FSP account balance.
Loans Members are permitted to borrow a minimum of $1,000, up to a maximum of the lesser of $50,000 or 50% of the total value of their total vested account balance, excluding a Members FSP balance, at the time of the loan issuance and may have two loans outstanding within the Companys savings plans at any time. Loans may be additionally limited in accordance with the Plan provisions. The interest rate on new loans is set every month and is equal to the prime rate published in the Wall Street Journal as of the last business day of the calendar month, immediately preceding the date of the loan. Interest rates on outstanding loans ranged from 2% to 9.8% at December 31, 2011, with loans maturing at various dates through December 2031.
Loan repayment is made through regular payroll deductions for a period of up to 60 months for general loans and over a longer period for loans used to finance the purchase of a principal residence. If a Members employment terminates for any reason, and the loan balances are not paid in full by the termination date, the Member may continue to make monthly loan repayments until the loan is scheduled to be paid off. A loan will continue to be subject to default if a payment has not been made for 90 days, an outstanding loan balance remains 30 days after the scheduled payoff date, or the Member takes a full distribution of their net account balance before the loan is paid off. If the loan defaults, the loan balance will become taxable income to the Member. Member loans are measured at their unpaid principal balance, plus any accrued but unpaid interest.
- 5 -
Benefit Payments On termination of service, a Member may elect to receive a lump-sum amount equal to the value of the Members vested interest in his or her account; a partial payment amount; or monthly, quarterly, semiannual, or annual installments of a fixed dollar amount or for a specific number of years, up to 10 years. Generally, a Member may also elect to have all or a portion of his or her Boeing Stock Fund balance paid in shares and/or cash. A Member also has the option to elect an annuity contract. If a Member makes no election, annual distributions of the required minimum amount will begin after age 70-1/2.
2. | SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES |
Basis of Accounting The accompanying financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America (GAAP).
Use of Estimates The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and changes therein and the disclosure of contingent assets and liabilities. Actual results could differ from those estimates.
Risks and Uncertainties The Plan utilizes various investment instruments. Investment securities, in general, are exposed to various risks, such as interest rate risk, credit risk, and overall market volatility. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect the amounts reported in the financial statements.
Valuation of Investments Investments in the Master Trust are stated at fair value. Fair value of a financial instrument is the price that would be received to sell an asset or paid to transfer a liability (exit price) in an orderly transaction between market participants at the measurement date. The Master Trusts investments are valued as follows:
| Common stock, including Boeing Common stock, preferred stock, and other exchange traded derivatives traded in active markets on national and international exchanges are primarily valued using a market approach based on the closing market prices of identical instruments on the last trading day of the year. The other exchange traded derivatives are included in other receivables and other liabilities on the Master Trust financial statements. |
| Forwards and spot currency contracts are valued using spot foreign currency exchange rates if the contract length is two days or less and an interpolated rate is used for any contracts with a length greater than two days. Forwards and spot currency contracts are included in other receivables and other liabilities on the Master Trust financial statements. |
| Mutual funds, which are registered investment companies, are valued using a market approach based on quoted market prices to represent the net asset value on the last trading day of the year. |
| Investments in common/collective trust funds are valued based on the year-end unit value; unit values were determined by the issuer or Third Party Administrator by dividing the fair values of the total net assets at year-end by the outstanding units. The fair values of the total net assets are determined by the nature of the underlying investments. Each underlying investment is valued at fair value in accordance with the valuation description associated with its investment type. Units in common/collective trust funds, which hold benefit-responsive contracts, are priced based upon fair value of the underlying investment. Funds which hold Guaranteed Investment Contracts (GICs) are fair valued and then adjusted to contract value. The fair value of traditional |
- 6 -
GICs is determined using a discounted cash flow methodology where the individual contract cash flows are discounted at the prevailing interpolated swap rate as of year-end. The fair values of the fixed-income securities underlying the fund are valued based on the pricing methodology for fixed-income securities stated below. There were no unfunded commitments, no restrictions on redemption frequency and no advance notice periods required for redemption. |
| Synthetic GICs are stated at fair value and then adjusted to contract value. There are no reserves against contract value for credit risk of the contract issuer. The fixed-income securities underlying the contracts were valued using prices provided by SSBT, which are based on the pricing methodology stated below for fixed-income securities. |
| Fixed-income securities, the majority of which are not exchange-traded but are traded in active markets, are primarily valued using a market approach with observable inputs, such as observable trade prices, multiple broker-dealer quotations, related yield curves, and other assumptions about the security (prepayment projections, cash flows, and other security characteristics) and valued as of the last trading day of the year. Fixed-income securities having a delayed future settlement such as To Be Announced securities (TBAs) are valued similarly to fixed-income securities in active markets. TBAs are included in synthetic GICs and payables for securities purchased on the Master Trust financial statements. |
| Securities traded in markets that are not considered active could be valued using unobservable inputs, such as less recent trade prices, single broker-dealer quotations, related yield curves, and other assumptions about the security. |
| Investments in limited partnerships are recorded based upon the year-end valuations provided by the partnerships. Among the factors considered by the partnerships in determining the fair value are developments since the acquisition of the underlying investments, the financial condition and operating results of the underlying investments, the long-term potential of each of the underlying investments businesses, market comparable analysis, the foreign exchange rate for each of the underlying foreign investments, and other factors generally pertinent to the valuation of the underlying investments. There are no unfunded commitments. |
In accordance with the Financial Accounting Standards Board (FASB) Accounting Standards Codification (ASC) 946-210-45 through 946-210-55, the synthetic GICs are included at fair value in participant-directed investments in the statements of net assets available for benefits, and an additional line item is presented representing the adjustment from fair value to contract value. The statement of changes in net assets available for benefits is presented on a contract-value basis.
Purchases and sales of securities are recorded on a trade-date basis. Dividends are recorded on the ex-dividend date. The net appreciation/depreciation in fair value of investments includes both realized and unrealized gains or losses and is calculated as the difference between the fair value of the assets as of the beginning of the plan year or the purchase date in the current year and either the sales price or the end-of-year fair value.
Benefits Benefits are recorded when paid.
Expenses Necessary and proper expenses of the Plan are paid from the Plan assets at the Master Trust level, except for those expenses the Company is required by law or chooses to pay.
- 7 -
Loans Receivable from Members Loans receivable from Members are measured at their unpaid principal balance plus any accrued but unpaid interest. Delinquent participant loans are recorded as distributions based on the terms of the Plan document.
Recently Adopted Accounting Guidance In January 2010, the FASB issued Accounting Standards Update (ASU) 2010-06, Fair Value Measurements and Disclosures, which amends ASC 820, Fair Value Measurements and Disclosures, adding a new disclosure requirement to provide Level 3 activity of purchases, sales, issuances and settlements on a gross basis. The requirement was effective for fiscal years beginning after December 15, 2010. The adoption in 2011 did not materially affect the financial statements.
Recent Accounting Guidance Not Yet Adopted In May 2011, the FASB issued ASU No. 2011-04, Amendments to Achieve Common Fair Value Measurement and Disclosure Requirements in U.S. GAAP and IFRSs, which amends ASC 820. ASU 2011-04 also requires the categorization by level for items that are only required to be disclosed at fair value and information about transfers between Level 1 and Level 2. In addition, the ASU provides guidance on measuring the fair value of financial instruments managed within a portfolio and the application of premiums and discounts on fair value measurements. The ASU requires additional disclosure for Level 3 measurements regarding the sensitivity of fair value to changes in unobservable inputs and any interrelationships between those inputs. The new guidance is effective for reporting periods beginning after December 15, 2011. The adoption will not have a material effect on the statement of net assets available for benefits and statement of changes in net assets available for benefits. Plan management has not determined the impact on the disclosures in the financial statements.
3. | SYNTHETIC GUARANTEED INVESTMENT CONTRACTS |
For the plan years ended December 31, 2011 and 2010, the Master Trust included the VIP Stable Value Fund (VIP SVF), which is managed by Dwight Asset Management Company LLP (Dwight). The VIP SVF holds six synthetic GICs, issued by Bank of America, ING Life Insurance and Annuity Company, Natixis Financial Products, Pacific Life Insurance Company, Prudential Fixed Income Management, and Royal Bank of Canada (collectively, the wrap providers).
A synthetic GIC, also known as a wrap contract, is an investment contract issued by an insurance company or other financial institution, backed by diversified bond portfolios that are owned by the VIP SVF. These contracts provide that realized and unrealized gains and losses on the underlying assets are not reflected immediately in the net assets of the VIP SVF, but rather are amortized, at a maximum over the duration of the underlying assets, through adjustments to the future interest-crediting rate. Primary variables impacting the future crediting rate of the wrap contracts include current yield of the underlying assets within the wrap contract, duration of the underlying assets covered by the wrap contract, and the existing difference between market value and contract value of the underlying assets within the wrap contract. The issuer guarantees that all qualified participant withdrawals will occur at contract value (or book value), which represents contributions made under the contract, plus earnings, less withdrawals made under the contract and administrative expenses.
The synthetic GICs are included in the Master Trust financial statements at fair value in participant-directed investments in the statements of net assets available for benefits, and an additional line item is presented representing the adjustment from fair value to contract value. There are no reserves against contract value for credit risk of the contract issuer. The fixed-income securities underlying the contracts are valued using prices provided by SSBT, which are based on the valuation methodology stated in Note 2.
- 8 -
The assets underlying the synthetic GICs are owned by the VIP SVF, which is part of the Master Trust; SSBT is the custodian for the Master Trust assets. The underlying assets of the synthetic GICs are invested in diversified bond portfolios managed by BlackRock Financial Management Inc., ING Investment Management Co., JPMorgan Asset Management, Pacific Investment Management Company, Prudential Fixed Income Management, and Western Asset Management Co. In addition to the diversified bond portfolios, Dwight oversees an allocation to a cash component, which is invested in SSBTs Short-Term Investment Fund.
The wrap providers are each contractually obligated to pay the principal and specified interest rate that is guaranteed to the VIP SVF, respectively. The respective interest-crediting rates are each based on a formula agreed upon with each issuer; each one may not be less than 0%. Such interest rates are reviewed and reset on a quarterly basis. Synthetic GICs provide prospective crediting interest rates which are adjusted quarterly based on the interest earnings, fair value, and duration of the underlying diversified bond portfolios. The crediting rate of each contract in any given quarter will reflect market experience from the previous quarter. The wrap providers may not terminate the contracts at any amount less than contract value.
Certain events, such as a Plan termination or a Plan merger outside the Master Trust initiated by the Company, could limit the ability of the VIP SVF to transact at contract value or may allow for the termination of the wrapper contract at less than contract value. The Company does not believe that any events are probable that could limit the ability of the VIP SVF to transact at contract value.
The average yields of the VIP SVF for the years ended December 31, 2011 and 2010, are as follows:
2011 | 2010 | |||||||
Average yields: |
||||||||
Based on annualized earnings (1) |
1.64 | % | 2.65 | % | ||||
Based on interest rate credited to participants (2) |
2.72 | 3.18 |
(1) | Computed by dividing the annualized one-day actual earnings of the VIP SVF on the last day of the plan year by the fair value of the investments of the VIP SVF on the same date. |
(2) | Computed by dividing the annualized one-day earnings credited to participants in the VIP SVF on the last day of the plan year by the fair value of the investments of the VIP SVF on the same date. |
4. | MASTER TRUST |
The Master Trust is composed of 19 investment funds. The assets are invested and records are maintained by each investment fund option. Funds are allocated to the participating plans in accordance with the Plan provisions and participant allocation elections. The allocation of net assets available for benefits is based on the respective number of units held by the plans members as of year-end. The allocation of the changes in net assets available for benefits is calculated daily based on the units held by the plans members as of that days end.
At December 31, 2011, the assets of the following plan comprised the Master Trust:
| The Boeing Company Voluntary Investment Plan |
Effective September 30, 2011, The Boeing Company Employee Financial Security Plan was merged into the Plan.
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At December 31, 2010, the assets of the following plans were combined in the Master Trust:
| The Boeing Company Voluntary Investment Plan |
| The Boeing Company Employee Financial Security Plan |
The Plans interest in the Master Trust was $33,086,148,540 and $30,695,409,007 representing 100% and 97% of the Master Trusts net assets at December 31, 2011 and 2010, respectively.
Although the Plan is the only participating plan in the Master Trust as of December 31, 2011, the Company intends to keep the Master Trust for potential future acquired plans and file a Form 5500 as a master trust.
- 10 -
The Master Trusts statements of net assets available for benefits as of December 31, 2011 and 2010, are as follows:
2011 | 2010 | |||||||
ASSETS: |
||||||||
Investments at fair value: |
||||||||
Common/collective trusts |
$ | 12,148,046,131 | $ | 12,983,693,664 | ||||
Common and preferred stock |
3,121,201,980 | 3,700,868,104 | ||||||
Mutual funds |
66,146,986 | 62,217,547 | ||||||
Boeing common stock |
5,270,316,180 | 4,584,971,885 | ||||||
Synthetic GICs |
10,546,691,508 | 10,313,692,337 | ||||||
Limited partnerships |
1,288,278 | 2,988,309 | ||||||
Fixed-income securities |
2,910,469 | 2,481,070 | ||||||
|
|
|
|
|||||
31,156,601,532 | 31,650,912,916 | |||||||
|
|
|
|
|||||
Cash and cash equivalents |
2,030,744,254 | 49,233,434 | ||||||
|
|
|
|
|||||
Receivables: |
||||||||
Receivables for securities sold |
74,015,943 | 239,775,195 | ||||||
Accrued investment income |
61,540,018 | 61,810,053 | ||||||
Other |
7,265,505 | 4,541,461 | ||||||
|
|
|
|
|||||
Total receivables |
142,821,466 | 306,126,709 | ||||||
|
|
|
|
|||||
Total assets |
33,330,167,252 | 32,006,273,059 | ||||||
|
|
|
|
|||||
LIABILITIES: |
||||||||
Payables for securities purchased |
219,911,673 | 250,805,837 | ||||||
Accrued investment and administration expenses |
17,585,986 | 16,092,840 | ||||||
Other |
6,521,053 | 3,370,556 | ||||||
|
|
|
|
|||||
Total liabilities |
244,018,712 | 270,269,233 | ||||||
|
|
|
|
|||||
NET ASSETS AVAILABLE FOR BENEFITS At fair value |
33,086,148,540 | 31,736,003,826 | ||||||
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE FOR FULLY BENEFIT-RESPONSIVE INVESTMENT CONTRACTS |
(503,020,047 | ) | (355,371,288 | ) | ||||
|
|
|
|
|||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ | 32,583,128,493 | $ | 31,380,632,538 | ||||
|
|
|
|
- 11 -
Net investment income and investment and administration expenses for the Master Trust for the year ended December 31, 2011, is as follows:
Appreciation of investments: |
||||
Common/collective trusts |
$ | (78,521,544 | ) | |
Common and preferred stock |
(172,191,299 | ) | ||
Mutual funds |
(2,868,874 | ) | ||
Boeing common stock |
594,488,843 | |||
Fixed-income securities |
(73,212 | ) | ||
Partnerships |
(2,656,275 | ) | ||
|
|
|||
Net appreciation of investments |
338,177,639 | |||
|
|
|||
Interest income |
352,870,415 | |||
Dividend income |
170,815,374 | |||
|
|
|||
Investment income |
523,685,789 | |||
|
|
|||
Net investment income |
$ | 861,863,428 | ||
|
|
|||
Investment and administration expenses |
$ | 67,520,713 | ||
|
|
The net appreciation in fair value of investments, investment income, and investment and administration expenses included in the Net Master Trust Activity of the Plan were $390,252,934, $516,332,065, and $66,066,386, respectively for the year ended December 31, 2011.
5. | FAIR VALUE OF FINANCIAL ASSETS AND FINANCIAL LIABILITIES |
ASC 820 establishes a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The three levels of the fair value hierarchy under ASC 820 for financial assets and financial liabilities are described below:
Basis of Fair Value Measurement:
Level 1 Values are based on unadjusted quoted prices in active markets that are accessible at the measurement date for identical, unrestricted assets or liabilities. An active market is a market in which transactions for the asset or liability occur with sufficient frequency and volume to provide pricing information on an ongoing basis.
Level 2 Values are based on (a) quoted prices for similar assets or liabilities in active markets; (b) quoted prices for identical or similar assets or liabilities in nonactive markets; or (c) valuation models whose inputs are observable, directly or indirectly, for substantially the full term of the asset or liability.
Level 3 Values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement.
- 12 -
The following tables set forth by level within the fair value hierarchy a summary of Master Trust investments by classes of assets and liabilities on the basis of the nature and risk of the investments measured at fair value on a recurring basis as of December 31, 2011 and 2010, respectively. As required by ASC 820, assets and liabilities are classified in their entirety based on the lowest level of input that is significant to the fair value measurement. The Plans policy is to recognize significant transfers between levels at the beginning of the reporting period.
Quoted Prices in Active Market (Level 1) |
Significant Other Observable Inputs (Level 2) |
Significant (Level 3) |
Balance as of 2011 |
|||||||||||||
Investment assets: |
||||||||||||||||
Common/collective trusts: |
||||||||||||||||
U.S. equity |
$ | $ | 6,588,138,446 | $ | $ | 6,588,138,446 | ||||||||||
Non-U.S. equity |
2,136,111,970 | 2,136,111,970 | ||||||||||||||
Fixed income |
3,423,181,545 | 3,423,181,545 | ||||||||||||||
Short term investment |
614,170 | 614,170 | ||||||||||||||
Common and preferred stocks: |
||||||||||||||||
U.S. equity |
2,513,477,420 | 2,513,477,420 | ||||||||||||||
Non-U.S. equity |
464,791,918 | 142,932,642 | 607,724,560 | |||||||||||||
Fixed-income securities: |
||||||||||||||||
Corporate bonds |
2,910,469 | 2,910,469 | ||||||||||||||
Mutual funds equity |
66,146,986 | 66,146,986 | ||||||||||||||
Boeing common stock |
5,270,316,180 | 5,270,316,180 | ||||||||||||||
Synthetic GICs: |
||||||||||||||||
U.S. government and agency |
4,387,689,758 | 29,921,420 | 4,417,611,178 | |||||||||||||
Corporate bonds |
2,710,655,437 | 2,710,655,437 | ||||||||||||||
Mortgage backed and asset backed |
3,058,231,537 | 17,657,948 | 3,075,889,485 | |||||||||||||
Short term investment |
149,884,012 | 149,884,012 | ||||||||||||||
Other |
191,981,437 | 669,959 | 192,651,396 | |||||||||||||
Partnerships |
1,288,278 | 1,288,278 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total investment assets |
8,314,732,504 | 22,792,331,423 | 49,537,605 | 31,156,601,532 | ||||||||||||
Receivables: |
||||||||||||||||
Forward currency contracts |
20,234 | 20,234 | ||||||||||||||
Futures |
69,851 | 69,851 | ||||||||||||||
Cash equivalents |
12,497,267 | |||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total financial assets |
$ | 8,314,802,355 | $ | 22,804,848,924 | $ | 49,537,605 | $ | 31,169,188,884 | ||||||||
|
|
|
|
|
|
|
|
|||||||||
Investment liabilities: |
||||||||||||||||
TBAs |
$ | $ | 6,306,635 | $ | $ | 6,306,635 | ||||||||||
Futures |
311,985 | 311,985 | ||||||||||||||
Forward currency contracts |
50,400 | 50,400 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total investment liabilities |
$ | 311,985 | $ | 6,357,035 | $ | $ | 6,669,020 | |||||||||
|
|
|
|
|
|
|
|
- 13 -
Quoted Prices in Active Market for Identical (Level 1) |
Significant Other Observable Inputs (Level 2) |
Significant (Level 3) |
Balance as of 2010 |
|||||||||||||
Investment assets: |
||||||||||||||||
Common/collective trusts: |
||||||||||||||||
U.S. equity |
$ | | $ | 6,699,093,096 | $ | | $ | 6,699,093,096 | ||||||||
Non-U.S. equity |
2,320,980,055 | 2,320,980,055 | ||||||||||||||
Fixed income |
2,919,857,416 | 2,919,857,416 | ||||||||||||||
Short term investment |
1,043,763,097 | 1,043,763,097 | ||||||||||||||
Common and preferred stocks: |
||||||||||||||||
U.S. equity |
3,034,407,741 | 55,729,630 | 3,090,137,371 | |||||||||||||
Non-U.S. equity |
486,346,356 | 124,384,377 | 610,730,733 | |||||||||||||
Fixed-income securities corporate bonds |
2,481,070 | 2,481,070 | ||||||||||||||
Mutual funds equity |
62,217,547 | 62,217,547 | ||||||||||||||
Boeing common stock |
4,584,971,885 | 4,584,971,885 | ||||||||||||||
Synthetic GICs: |
||||||||||||||||
U.S. government and agency |
3,940,817,453 | 26,559,405 | 3,967,376,858 | |||||||||||||
Corporate bonds |
2,598,467,614 | 4,879,818 | 2,603,347,432 | |||||||||||||
Mortgage backed and asset backed |
2,482,279,500 | 20,322,280 | 2,502,601,780 | |||||||||||||
Short term investment |
1,013,807,701 | 1,013,807,701 | ||||||||||||||
Other |
225,858,402 | 700,164 | 226,558,566 | |||||||||||||
Partnerships |
2,988,309 | 2,988,309 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total investment assets |
8,167,943,529 | 23,427,519,411 | 55,449,976 | 31,650,912,916 | ||||||||||||
Receivables forward currency contracts |
90,542 | 90,542 | ||||||||||||||
Cash equivalents |
3,326,150 | 3,326,150 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total financial assets |
$ | 8,167,943,529 | $ | 23,430,936,103 | $ | 55,449,976 | $ | 31,654,329,608 | ||||||||
|
|
|
|
|
|
|
|
|||||||||
Investment liabilities: |
||||||||||||||||
TBAs |
$ | | $ | 25,612,385 | $ | | $ | 25,612,385 | ||||||||
Forward currency contracts |
954,156 | 954,156 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total investment liabilities |
$ | | $ | 26,566,541 | $ | | $ | 26,566,541 | ||||||||
|
|
|
|
|
|
|
|
Total Master Trust investment assets at fair value classified within Level 3 were $49,537,605 and $55,449,976 as of December 31, 2011 and 2010, respectively, which primarily consists of fixed-income securities underlying the synthetic GICs and an investment in a partnership. Such amounts were 0.16% and 0.18% of Total investment assets in the Master Trusts statements of net assets available for benefits as of December 31, 2011 and 2010, respectively.
For the years ended December 31, 2011 and 2010, there were no significant transfers in or out of Levels 1 or 2.
- 14 -
Level 3 Gains and Losses A summary of changes in the fair value of the Master Trusts Level 3 investment assets for the years ended December 31, 2011 and 2010, is as follows:
Common and preferred stock |
Synthetic GICs: Corporate bonds |
Synthetic GICs: U.S. government and agency |
Synthetic GICs: Mortgage backed and asset backed |
Synthetic GICs: Other |
Partnerships | Total | ||||||||||||||||||||||
Beginning balance January 1, 2011 |
$ | $ | 4,879,818 | $ | 26,559,405 | $ | 20,322,280 | $ | 700,164 | $ | 2,988,309 | $ | 55,449,976 | |||||||||||||||
Transfers into Level 3 |
4,879,818 | 4,879,818 | ||||||||||||||||||||||||||
Transfers out of Level 3 |
(4,879,818 | ) | (4,879,818 | ) | ||||||||||||||||||||||||
Total gains or losses included in changes in net assets (1) |
1,593,168 | (53,434 | ) | 19,795 | $ | (787,005 | ) | 772,524 | ||||||||||||||||||||
Purchases, issuances, sales and settlements: |
||||||||||||||||||||||||||||
Purchases |
762,591 | 762,591 | ||||||||||||||||||||||||||
Issuances |
||||||||||||||||||||||||||||
Sales |
(3,110,971 | ) | (3,373,489 | ) | (50,000 | ) | (913,026 | ) | (7,447,486 | ) | ||||||||||||||||||
Settlements |
||||||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
Ending balance December 31, 2011 |
$ | $ | $ | 29,921,420 | $ | 17,657,948 | $ | 669,959 | $ | 1,288,278 | $ | 49,537,605 | ||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
Beginning balance January 1, 2010 |
$ | 419,308 | $ | 4,784,532 | $ | $ | $ | $ | 3,285,463 | $ | 8,489,303 | |||||||||||||||||
Net Realized and Unrealized Gains (Losses) (1) |
(30,830 | ) | 95,286 | 92,874 | 105,255 | 7,164 | 1,980,152 | 2,249,901 | ||||||||||||||||||||
Net Purchases, Issuances, and Settlements |
(388,478 | ) | 26,466,531 | 20,217,025 | 693,000 | (2,277,306 | ) | 44,710,772 | ||||||||||||||||||||
Net Transfers Out of Level 3 |
||||||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
Ending balance December 31, 2010 |
$ | $ | 4,879,818 | $ | 26,559,405 | $ | 20,322,280 | $ | 700,164 | $ | 2,988,309 | $ | 55,449,976 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(1) | Amounts include accreted interest income on fixed income securities |
The net unrealized gain (loss) on Level 3 investment assets still held as of December 31, 2011 and 2010, were $0 and $95,286 for corporate bonds, $0 and $0 for common and preferred stock, $14,670 and $4,602 for other assets, $512,546 and $92,874 for U.S. government and agency securities, $(16,722) and $102,706 for mortgage backed and asset backed securities and $(756,454) and $382,029 for partnerships, respectively.
- 15 -
6. | DERIVATIVE FINANCIAL INSTRUMENTS |
ASC 815, Derivatives and Hedging, requires disclosures to enable investors to understand how and why derivatives are used, accounted for, and affect the results of operations and financial position. Derivative instruments held by the Master Trust are not designated as hedging instruments under ASC 815.
- 16 -
As of December 31, 2011 and 2010, the Master Trust has invested in derivative contracts which are reflected on the Master Trusts statements of net assets available for benefits as follows:
Foreign Currency |
Equity | Future Settlement |
Total | |||||||||||||
December 31, 2011 |
||||||||||||||||
Assets: |
||||||||||||||||
Synthetic GICs: |
||||||||||||||||
TBAs |
$ | | $ | | $ | 8,712,185 | $ | 8,712,185 | ||||||||
Other receivables: |
||||||||||||||||
Forward contracts |
20,234 | 20,234 | ||||||||||||||
Futures |
3,920 | 65,931 | 69,851 | |||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total assets |
$ | 24,154 | $ | 65,931 | $ | 8,712,185 | $ | 8,802,270 | ||||||||
|
|
|
|
|
|
|
|
|||||||||
Liabilities: |
||||||||||||||||
Other liabilities: |
||||||||||||||||
Forward contracts |
$ | 50,400 | $ | | $ | | $ | 50,400 | ||||||||
Futures |
311,985 | 311,985 | ||||||||||||||
Payable for securities purchased: |
||||||||||||||||
TBAs |
6,306,635 | 6,306,635 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total liabilities |
$ | 50,400 | $ | 311,985 | $ | 6,306,635 | $ | 6,669,020 | ||||||||
|
|
|
|
|
|
|
|
|||||||||
December 31, 2010 |
||||||||||||||||
Assets: |
||||||||||||||||
Synthetic GICs: |
||||||||||||||||
TBAs |
$ | | $ | | $ | 16,183,660 | $ | 16,183,660 | ||||||||
Other receivables: |
||||||||||||||||
Forward contracts |
90,542 | 90,542 | ||||||||||||||
Futures |
7,280 | 139,963 | 147,243 | |||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total assets |
$ | 97,822 | $ | 139,963 | $ | 16,183,660 | $ | 16,421,445 | ||||||||
|
|
|
|
|
|
|
|
|||||||||
Liabilities: |
||||||||||||||||
Other liabilities: |
||||||||||||||||
Forward contracts |
$ | 954,156 | $ | | $ | | $ | 954,156 | ||||||||
Futures |
421,305 | 421,305 | ||||||||||||||
Payable for securities purchased: |
||||||||||||||||
TBAs |
25,612,385 | 25,612,385 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total liabilities |
$ | 954,156 | $ | 421,305 | $ | 25,612,385 | $ | 26,987,846 | ||||||||
|
|
|
|
|
|
|
|
- 17 -
Realized gains and losses and the change in unrealized gains and losses are reflected in the Master Trusts statement of changes in net assets available for benefits as net appreciation or depreciation in the fair value of investments. The effect of derivative contracts realized gains and losses and the change in unrealized gains and losses for the year ended December 31, 2011, are reflected in the following table:
Foreign Currency |
Equity | Total | ||||||||||
December 31, 2011 |
||||||||||||
Net gains (losses): |
||||||||||||
Forward contracts |
$ | (1,049,272 | ) | $ | | $ | (1,049,272 | ) | ||||
Futures |
(9,562 | ) | 1,264,235 | 1,254,673 | ||||||||
Total net gains (losses) |
$ | (1,058,834 | ) | $ | 1,264,235 | $ | 205,401 | |||||
|
|
|
|
|
|
TBAs are included in the synthetic GICs and adjusted to contract value. As such, there is no gain/(loss) on the statement of changes in net assets available for benefits related to TBAs.
The following table summarizes the gross notional value of derivative contracts outstanding as of December 31, 2011 and 2010. The gross notional amounts give an indication of the volume of the Master Trusts derivative activity and significantly exceed the net notional value of the derivative investments, which is more representative of the economic exposure associated with derivatives in the Master Trust.
Foreign Currency |
Equity | Future Settlement |
Total | |||||||||||||
December 31, 2011 |
||||||||||||||||
Forward contracts |
$ | 20,880,571 | $ | | $ | | $ | 20,880,571 | ||||||||
Futures |
785,680 | 113,066,560 | 113,852,240 | |||||||||||||
TBAs |
2,669,965,169 | 2,669,965,169 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total |
$ | 21,666,251 | $ | 113,066,560 | $ | 2,669,965,169 | $ | 2,804,697,980 | ||||||||
|
|
|
|
|
|
|
|
|||||||||
December 31, 2010 |
||||||||||||||||
Forward contracts |
$ | 17,912,491 | $ | | $ | | $ | 17,912,491 | ||||||||
Futures |
1,305,720 | 139,862,555 | 141,168,275 | |||||||||||||
TBAs |
5,028,125,996 | 5,028,125,996 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total |
$ | 19,218,211 | $ | 139,862,555 | $ | 5,028,125,996 | $ | 5,187,206,762 | ||||||||
|
|
|
|
|
|
|
|
Derivatives are generally used to achieve the desired market exposure of a security, index or currency, or adjust portfolio duration. Derivative contracts are instruments that derive their value from underlying assets, indices, reference interest rates, or a combination of these factors. Refer to Note 2 for further description of how derivative instruments are valued. Certain cash instruments, such as mortgage-backed TBAs meet the definition of a derivative instrument under U.S. GAAP. A derivative instrument could be a contract negotiated on behalf of the Master Trust and a specific counterparty; this would typically be referred to as an OTC contract, such as forward contracts and TBAs. Alternatively, a derivative instrument, such as futures, could be listed and traded on an exchange and referred to as exchange traded.
- 18 -
Inherent in the use of OTC derivatives, the Master Trust is exposed to counterparty credit risk on all open OTC positions. Counterparty credit risk is the risk that a derivative counterparty may fail to meet its payment obligation under the derivative contract. As of December 31, 2011 and 2010, the Master Trust counterparty risk was not deemed to be significant, when evaluating counterparty exposure outright with each counterparty.
Foreign Currency Risk Currency risk is the risk of a change in market value due to the change in foreign currency exchange rates. Generally, currency futures and forward contracts are used to achieve the desired currency exposure, or generate value-added performance. Foreign currency futures and forwards are agreements between two parties to buy and sell a set of currencies at a set exchange rate on a specified future date.
Equity Risk Equity risk is the risk of a change in market value of assets due to the change in equity or equity index prices. Equity futures are generally used to achieve the desired market exposure of a security or index or rebalance the total portfolio to the target asset allocation. An equity futures contract is an agreement between two parties to buy and sell a financial instrument at a set price on a future date.
Future Settlement Risk Future settlement risk is the risk of not receiving the asset or associated gains specified in the contract. Associated gains are derived from the change in market value of the contract due to a change in price of the underlying security. Mortgage TBAs are used to achieve the desired market exposure of a security or asset class or adjust portfolio duration. A TBA is a contract for the purchase or sale of agency mortgage-backed securities to be delivered at a future agreed-upon date.
The disclosures included in this footnote were omitted from the previously issued 2010 financial statements.
7. | PLAN AMENDMENTS |
Effective September 30, 2011, the FSP merged into the Plan.
Effective September 15, 2011, the Global Aeronautica, LLC 401(k) Plan (Global Aeronautica) and the eXMeritus Software Federal Systems, Inc. 401(k) Plan (eXMeritus) were merged into the Plan. Transferred employees are eligible to participate in the Plan coinciding with the date their former plan was frozen.
Effective November 12, 2010, the Plan was amended to comply with the Heroes Earnings Assistance and Relief Tax Act of 2008. Members should refer to the Plan document for details.
Effective July 2, 2010, the Plan was amended and matching and Company contributions are no longer available for certain employees of Boeing Service Company and Boeing Defense, Space & Security.
Effective April 5, 2010, the Plan was amended to provide a rebalancing provision, whereby certain Members can elect to rebalance their account balances automatically, on either a monthly or quarterly basis, to align the allocation of their account balances to their investment elections.
Effective January 1, 2010, the Plan was amended to allow automatic enrollment for all new hires, both union and non-union.
- 19 -
Effective January 1, 2010, the Plan was amended to permit employer matching contributions be made in the form of employer stock. The unit price is determined on the day that the contributions post to a members account and can be divested and reinvested in an alternative investment.
8. | ASSETS TRANSFERRED FROM ANOTHER PLAN |
Upon the merger of the FSP, effective September 30, 2011, all assets and liabilities of the FSP were transferred to the Plan. The fair value of the assets transferred totaled $934,136,088.
Upon the merger of Global Aeronautica and eXMeritus, effective September 15, 2011, all assets and liabilities of Global Aeronautica and eXMeritus were transferred to the Plan. The fair value of the assets transferred totaled $8,298,003 and $890,581, respectively.
9. | RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500 |
The following is a reconciliation of net assets available for benefits per the financial statements as of December 31, 2011 and 2010, to Form 5500:
2011 | 2010 | |||||||
Net assets available for benefits per the financial statements |
$ | 33,257,749,331 | $ | 31,012,055,324 | ||||
Amounts allocated to withdrawing Members |
(5,036,005 | ) | (3,966,311 | ) | ||||
Adjustment from contract value to fair value for fully benefit-responsive investment contracts |
503,020,047 | 345,506,326 | ||||||
|
|
|
|
|||||
Net assets available for benefits per Form 5500 |
$ | 33,755,733,373 | $ | 31,353,595,339 | ||||
|
|
|
|
The following is a reconciliation of total additions per the financial statements for the year ended December 31, 2011, to total income per Form 5500:
Statement of changes in net assets available for benefits: |
||||
Total additions per the financial statements |
$ | 2,961,791,191 | ||
Adjustment from contract value to fair value for fully benefit-responsive investment contracts December 31, 2011 |
503,020,047 | |||
Adjustment from contract value to fair value for fully benefit-responsive investment contracts December 31, 2010 |
(345,506,326 | ) | ||
|
|
|||
Total income per Form 5500 |
$ | 3,119,304,912 | ||
|
|
- 20 -
The following is a reconciliation of benefits paid to Members per the financial statements for the year ended December 31, 2011, to Form 5500:
Benefits paid to Members per the financial statements |
$ | 1,659,421,856 | ||
Amounts allocated to withdrawing Members December 31, 2011 |
5,036,005 | |||
Amounts allocated to withdrawing Members December 31, 2010 |
(3,966,311 | ) | ||
Amounts deemed distributions of Member loans as reflected in the Form 5500 |
(12,622,344 | ) | ||
|
|
|||
Benefits paid to Members per Form 5500 |
$ | 1,647,869,206 | ||
|
|
Amounts allocated to withdrawing Members are recorded on the Form 5500 for benefit claims that have been processed and approved for payment prior to December 31, but not yet paid as of that date.
Amounts deemed distributions of Member loans as reflected in the Form 5500 are for loans that Members failed to make a payment within 90 days of receipt of the last loan payment made or Members who failed to repay the loan in full within 30 days after the end of the repayment period for the year ended December 31, 2011.
10. | SIGNIFICANT INVESTMENTS |
At the direction of the participating members of the Master Trust plans, the Master Trust has invested in the following funds, representing 5% or more of net assets available for benefits as of December 31, 2011 and 2010, stated at fair value:
2011 | 2010 | |||||||
SSBT Flagship S&P 500 Index Fund Series A |
$ | $ | 4,564,126,033 | |||||
SSBT Flagship S&P 500 Index Non-Lending Series Fund Class A |
4,585,780,718 | |||||||
Boeing common stock |
5,270,316,180 | 4,584,971,885 | ||||||
SSBT Bond Market Index Fund Series A |
2,270,924,768 | |||||||
SSBT Bond Market Index Non-Lending Series Fund Class A |
2,589,401,611 | |||||||
SSBT Global All Cap Equity ex-US Index Securities |
||||||||
Lending Series Fund Class I |
1,980,000,440 | |||||||
SSBT Global All Cap Equity ex-US Index |
||||||||
Non-Lending Series Fund Class A |
1,862,715,249 |
11. | RELATED-PARTY TRANSACTIONS |
Certain Master Trust investments are managed by SSBT. SSBT is the trustee as defined by the Plan and, therefore, these transactions qualify as party-in-interest transactions. The investment management fees for the Plan are paid at the Master Trust level and included as a reduction of the return earned on each investment.
As of December 31, 2011 and 2010, the Plan held 71,851,618 and 70,260,339 shares of common stock of the Company, with a cost basis of $4,391,216,868 and $4,173,603,175 and recorded dividend income of $118,699,188 and $118,674,444, respectively, during the years then ended.
- 21 -
12. | PROHIBITED TRANSACTIONS |
On January 3, 2011, a reportable nonexempt party-in-interest transaction existed. Plan assets were inadvertently used to make a duplicate payment to a third-party provider. The Plan was corrected according to the guiding principles of the Department of Labors Voluntary Fiduciary Correction Program (DOLs VFCP), which involved remitting the total principal amount of $4,662 and associated lost earnings in the amount of $13 to the Plan on January 18, 2011, March 3, 2011, and May 26, 2011.
On December 15, 2010, a reportable nonexempt party-in-interest transaction existed. Kestrel plan assets were inadvertently used to pay expenses that should have been paid by the plan sponsor prior to merging assets into the Plan. The Plan was corrected according to the guiding principles of the DOLs VFCP, which involved remitting the principal amount of $1,602 and associated lost earnings in the amount of $24 to the Plan on June 16, 2011.
13. | TAX STATUS |
The Internal Revenue Service (IRS) has determined and informed the Company by a letter, dated December 10, 2003, that the Plan is designed in accordance with applicable sections of the Internal Revenue Code (IRC). The Plan has been amended since receiving the determination letter. On November 20, 2009, a request for a letter of determination was filed with the IRS. The Plan administrator believes that the Plan is designed and is currently being operated in compliance with the applicable requirements of the IRC. Therefore, the Plan administrator believes the Plans tax-exempt status has not been affected and no provision for income taxes has been included in the Plans financial statements.
GAAP requires Plan management to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the Plan has taken an uncertain position that more likely than not would not be sustained upon examination by the IRS. The Plan administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2011 and 2010, there are no uncertain tax positions taken or expected to be taken that would require recognition of a liability (or asset) or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress. The Plan administrator believes it is no longer subject to income tax examinations for years prior to 2005.
14. | PLAN TERMINATION |
Although it has not expressed any intention to do so, the Company has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions set forth in ERISA. In the event of termination of the Plan, both Members and Company contributions, including any income earned, will be distributed to the Members.
15. | SUBSEQUENT EVENTS |
On February 14, 2012, the Plan was amended and effective May 15, 2012, the Boeing Helena, Inc. 401(k) Plan and Trust and the Solutions Made Simple, Inc. 401(k) Profit Sharing Plan merged into the Plan.
On February 14, 2012, the Plan was amended and effective June 15, 2012, the Argon ST, Inc 401(k) Profit Sharing Plan & Trust and the Digital Receive Technology, Inc. 401(k) Plan merged into the Plan.
* * * * * *
- 22 -
SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the Plan Administrator has duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
THE BOEING COMPANY VOLUNTARY | ||||||
INVESTMENT PLAN | ||||||
June 26, 2012 |
/s/ Nancy B. Cannon | |||||
Date | Nancy B. Cannon | |||||
Vice President | ||||||
Enterprise Services | ||||||
Shared Services Group |
- 23 -
- 24 -
THE BOEING COMPANY VOLUNTARY INVESTMENT PLAN
SCHEDULE OF NONEXEMPT PARTY-IN-INTEREST TRANSACTIONS
FOR THE YEAR ENDED DECEMBER 31, 2011
Party Involved | Relationship to Plan |
Description of Transaction |
Cost of Asset |
Current Value of Asset |
Net Gain on Each |
|||||||||||
The Boeing Company |
Plan sponsor | Kestrel plan assets were inadvertently used to pay expenses that should have been paid by the plan sponsor prior to merging the assets into the Plan. |
$ | | $ | 1 | $ | 1 |
- 25 -
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
14OMED REALTY TRUST INC REIT USD.01 |
2,078,838 | |||||||||||
3M CO COMMON STOCK USD.01 |
5,254,422 | |||||||||||
AAC TECHNOLOGIES HOLDINGS IN COMMON STOCK USD.01 |
3,077,923 | |||||||||||
AALBERTS INDUSTRIES NV COMMON STOCK EUR.25 |
101,100 | |||||||||||
ABB LTD REG COMMON STOCK CHF1.03 |
1,078,081 | |||||||||||
ABBEY NATL TREASURY SERV BANK GUARANT 04/14 2.875 |
4/25/2014 | 2.88 | % | 428,836 | ||||||||
ABBEY NATL TREASURY SERV BANK GUARANT 04/14 2.875 |
4/25/2014 | 2.88 | % | 382,223 | ||||||||
ABBEY NATL TREASURY SERV BANK GUARANT 04/14 VAR |
4/25/2014 | 2.00 | % | 364,153 | ||||||||
ABBOTT LABORATORIES COMMON STOCK NPV |
6,556,980 | |||||||||||
ABBOTT LABORATORIES SR UNSECURED 04/19 5.125 |
4/1/2019 | 5.13 | % | 3,471,806 | ||||||||
ABBOTT LABORATORIES SR UNSECURED 04/19 5.125 |
4/1/2019 | 5.13 | % | 719,906 | ||||||||
ABBOTT LABORATORIES SR UNSECURED 05/15 2.7 |
5/27/2015 | 2.70 | % | 314,638 | ||||||||
ABBOTT LABORATORIES SR UNSECURED 11/17 5.6 |
11/30/2017 | 5.60 | % | 1,791,230 | ||||||||
ABC MART INC COMMON STOCK |
228,256 | |||||||||||
ABERDEEN ASSET MGMT PLC COMMON STOCK GBP.1 |
254,021 | |||||||||||
ABN AMRO BANK NV SR UNSECURED 144A 01/14 3. |
1/31/2014 | 3.00 | % | 5,885,301 | ||||||||
ACACIA RESEARCH ACACIA TEC TRACKING STK USD.001 |
2,742,266 | |||||||||||
ACCENTURE PLC CL A COMMON STOCK USD.0022.5 |
6,113,519 | |||||||||||
ACCENTURE PLC CL A COMMON STOCK USD.0022.5 |
6,679,833 | |||||||||||
ACCESS GROUP, INC. ACCSS 2005 2 A3 |
11/22/2024 | 0.67 | % | 97,625 | ||||||||
ACCESS GROUP, INC. ACCSS 2008 1 A |
10/27/2025 | 1.72 | % | 7,729,704 | ||||||||
ACCREDITED MORTGAGE LOAN TRUST ACCR 2004 3 2A2 |
10/25/2034 | 1.49 | % | 1,756,000 | ||||||||
ACCREDITED MORTGAGE LOAN TRUST ACCR 2005 3 A2D |
9/25/2035 | 0.66 | % | 1,710,780 | ||||||||
ACE INA HOLDINGS COMPANY GUAR 11/15 2.6 |
11/23/2015 | 2.60 | % | 335,900 | ||||||||
ACE LTD COMMON STOCK CHF30.57 |
9,417,116 | |||||||||||
ACE LTD COMMON STOCK CHF30.57 |
2,585,324 | |||||||||||
ACE SECURITIES CORP. ACE 2004 HE3 M1 |
11/25/2034 | 1.22 | % | 1,303,076 | ||||||||
ACE SECURITIES CORP. ACE 2004 SD1 A1 |
11/25/2033 | 0.78 | % | 111,557 | ||||||||
ACE SECURITIES CORP. ACE 2005 ASP1 A2D |
9/25/2035 | 0.64 | % | 1,614,423 | ||||||||
ACME PACKET INC COMMON STOCK USD.001 |
979,847 | |||||||||||
ACORDA THERAPEUTICS INC COMMON STOCK USD.001 |
1,044,192 | |||||||||||
ACTIVISION BLIZZARD INC COMMON STOCK USD.000001 |
1,851,758 | |||||||||||
ACTUANT CORP A COMMON STOCK USD.2 |
442,863 | |||||||||||
ADIDAS AG COMMON STOCK NPV |
331,510 | |||||||||||
ADJUSTABLE RATE MORTGAGE TRUST ARMT 2004 2 7A2 |
2/25/2035 | 1.13 | % | 490,787 | ||||||||
ADJUSTABLE RATE MORTGAGE TRUST ARMT 2005 5 2A1 |
9/25/2035 | 2.84 | % | 1,887,325 | ||||||||
ADTRAN INC COMMON STOCK USD.01 |
7,529,957 | |||||||||||
ADTRAN INC COMMON STOCK USD.01 |
601,692 | |||||||||||
ADTRAN INC COMMON STOCK USD.01 |
1,423,552 | |||||||||||
ADTRAN INC COMMON STOCK USD.01 |
1,786,377 | |||||||||||
ADVANCE AUTO PARTS INC COMMON STOCK USD.0001 |
1,866,084 | |||||||||||
ADVANTECH CO LTD COMMON STOCK TWD10. |
2,380,131 | |||||||||||
ADVISORY BOARD CO/THE COMMON STOCK USD.01 |
937,272 | |||||||||||
ADVISORY BOARD CO/THE COMMON STOCK USD.01 |
2,040,775 | |||||||||||
AEGON NV JR SUBORDINA 07/49 VAR |
12/31/2049 | 2.40 | % | 1,659,549 | ||||||||
AERCAP HOLDINGS NV COMMON STOCK EUR.01 |
1,614,470 | |||||||||||
AETNA INC COMMON STOCK USD.01 |
3,916,287 | |||||||||||
AETNA INC COMMON STOCK USD.01 |
1,398,345 | |||||||||||
AETNA INC SR UNSECURED 09/18 6.5 |
9/15/2018 | 6.50 | % | 1,031,042 | ||||||||
AETNA INC SR UNSECURED 09/20 3.95 |
9/1/2020 | 3.95 | % | 579,383 |
- 26 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
AFC ENTERPRISES COMMON STOCK USD.01 |
1,383,211 | |||||||||||
AFFILIATED MANAGERS GROUP COMMON STOCK USD.01 |
1,353,375 | |||||||||||
AFRICAN MINERALS LTD COMMON STOCK |
248,436 | |||||||||||
AGCO CORP COMMON STOCK USD.01 |
696,372 | |||||||||||
AGEAS SPON ADR ADR |
481,101 | |||||||||||
AGILENT TECHNOLOGIES INC COMMON STOCK USD.01 |
2,532,425 | |||||||||||
AGILENT TECHNOLOGIES INC COMMON STOCK USD.01 |
3,916,317 | |||||||||||
AH MORTGAGE ADVANCE TRUST AHMAT SART 1 A1 144A |
5/10/2042 | 2.63 | % | 506,683 | ||||||||
AIR LIQUIDE SA COMMON STOCK EUR5.5 |
901,267 | |||||||||||
AIR PRODUCTS + CHEMICALS INC COMMON STOCK USD1. |
3,417,823 | |||||||||||
AIRGAS INC COMMON STOCK USD.01 |
1,892,347 | |||||||||||
AISIN SEIKI CO LTD COMMON STOCK |
188,232 | |||||||||||
AKAMAI TECHNOLOGIES INC COMMON STOCK USD.01 |
5,351,830 | |||||||||||
AKER SOLUTIONS ASA COMMON STOCK NOK2. |
284,796 | |||||||||||
ALABAMA POWER CO SR UNSECURED 11/13 5.8 |
11/15/2013 | 5.80 | % | 653,616 | ||||||||
ALAMOS GOLD INC COMMON STOCK NPV |
506,722 | |||||||||||
ALBEMARLE CORP COMMON STOCK USD.01 |
1,813,152 | |||||||||||
ALCATEL LUCENT USA INC COMPANY GUAR 06/25 2.875 |
6/15/2025 | 2.88 | % | 1,197,317 | ||||||||
ALERE INC COMMON STOCK USD.001 |
902,819 | |||||||||||
ALEXION PHARMACEUTICALS INC COMMON STOCK USD.0001 |
1,371,871 | |||||||||||
ALGETA ASA COMMON STOCK NOK.5 |
1,479,405 | |||||||||||
ALK ABELLO A/S COMMON STOCK DKK10. |
452,737 | |||||||||||
ALKERMES PLC COMMON STOCK USD.01 |
2,964,220 | |||||||||||
ALLEGHENY TECHNOLOGIES INC COMMON STOCK USD.1 |
1,266,700 | |||||||||||
ALLEGIANT TRAVEL CO COMMON STOCK USD.001 |
1,653,540 | |||||||||||
ALLERGAN INC COMMON STOCK USD.01 |
8,537,102 | |||||||||||
ALLERGAN INC COMMON STOCK USD.01 |
6,179,177 | |||||||||||
ALLIANCE DATA SYSTEMS CORP COMMON STOCK USD.01 |
8,572,719 | |||||||||||
ALLIANCE DATA SYSTEMS CORP COMMON STOCK USD.01 |
3,966,688 | |||||||||||
ALLIANCE DATA SYSTEMS CORP COMMON STOCK USD.01 |
2,471,392 | |||||||||||
ALLIANT TECHSYSTEMS INC COMMON STOCK USD.01 |
940,453 | |||||||||||
ALLIANZ SE REG COMMON STOCK NPV |
1,019,525 | |||||||||||
ALLIED WORLD ASSURN CO HLDGS SR NT |
8/1/2016 | 7.50 | % | 1,692,846 | ||||||||
ALLOT COMMUNICATIONS LTD COMMON STOCK USD.01 |
2,007,251 | |||||||||||
ALLSCRIPTS HEALTHCARE SOLUTI COMMON STOCK USD.01 |
985,145 | |||||||||||
ALLSTATE CORP SR UNSECURED 02/12 6.125 |
2/15/2012 | 6.13 | % | 2,071,748 | ||||||||
ALLSTATE CORP SR UNSECURED 02/12 6.125 |
2/15/2012 | 6.13 | % | 2,892,004 | ||||||||
ALLSTATE CORP SR UNSECURED 05/14 6.2 |
5/16/2014 | 6.20 | % | 5,710,131 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2009 B A3 144A |
10/15/2013 | 1.98 | % | 652,462 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2009 B A4 144A |
12/15/2014 | 3.05 | % | 1,024,422 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2010 1 A3 |
5/15/2014 | 1.45 | % | 727,299 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2010 2 A3 |
7/15/2014 | 1.38 | % | 2,560,595 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2010 3 A4 |
8/17/2015 | 1.55 | % | 948,495 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2010 4 A3 |
11/17/2014 | 0.91 | % | 585,550 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2011 1 A3 |
1/15/2015 | 1.38 | % | 976,107 | ||||||||
ALLY AUTO RECEIVABLES TRUST ALLYA 2011 3 A3 |
8/17/2015 | 0.97 | % | 827,168 | ||||||||
ALLY FINANCIAL INC FDIC GUARANT 12/12 2.2 |
12/19/2012 | 2.20 | % | 10,939,716 | ||||||||
ALLY FINANCIAL INC FDIC GUARANT 12/12 2.2 |
12/19/2012 | 2.20 | % | 22,211,650 | ||||||||
ALLYA 2011 4 A4 06/16 1.14 |
6/15/2016 | 1.14 | % | 1,679,136 | ||||||||
ALMIRALL SA COMMON STOCK EUR.12 |
721,219 | |||||||||||
ALPHA NATURAL RESOURCES INC COMMON STOCK USD.01 |
5,227,363 |
- 27 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
ALTEN COMMON STOCK NPV |
212,520 | |||||||||||
ALTERA CORP COMMON STOCK USD.001 |
3,149,976 | |||||||||||
ALTERRA CAPITAL HOLDINGS LTD COMMON STOCK USD1. |
2,464,609 | |||||||||||
ALTERRA CAPITAL HOLDINGS LTD COMMON STOCK USD1. |
2,019,656 | |||||||||||
ALTRIA GROUP INC COMMON STOCK USD.333 |
2,643,891 | |||||||||||
ALTRIA GROUP INC COMPANY GUAR 05/21 4.75 |
5/5/2021 | 4.75 | % | 3,853,633 | ||||||||
ALTRIA GROUP INC COMPANY GUAR 08/19 9.25 |
8/6/2019 | 9.25 | % | 40,283 | ||||||||
ALTRIA GROUP INC COMPANY GUAR 11/13 8.5 |
11/10/2013 | 8.50 | % | 2,822,368 | ||||||||
ALTRIA GROUP INC COMPANY GUAR 11/13 8.5 |
11/10/2013 | 8.50 | % | 1,738,578 | ||||||||
ALTRIA GROUP INC COMPANY GUAR 11/13 8.5 |
11/10/2013 | 8.50 | % | 237,079 | ||||||||
ALTRIA GROUP INC COMPANY GUAR 11/18 9.7 |
11/10/2018 | 9.70 | % | 908,154 | ||||||||
AMAZON.COM INC COMMON STOCK USD.01 |
2,535,050 | |||||||||||
AMAZON.COM INC COMMON STOCK USD.01 |
3,765,791 | |||||||||||
AMAZON.COM INC COMMON STOCK USD.01 |
11,393,442 | |||||||||||
AMAZON.COM INC COMMON STOCK USD.01 |
12,393,268 | |||||||||||
AMDOCS LTD COMMON STOCK GBP.0001 |
2,096,955 | |||||||||||
AMDOCS LTD COMMON STOCK GBP.0001 |
1,908,657 | |||||||||||
AMEC PLC COMMON STOCK GBP.5 |
818,847 | |||||||||||
AMER EXPRESS CREDIT CO 08/14 FIXED 5.125 |
8/25/2014 | 5.13 | % | 392,126 | ||||||||
AMER EXPRESS CREDIT CO SR UNSECURED 05/13 5.875 |
5/2/2013 | 5.88 | % | 6,149,257 | ||||||||
AMER EXPRESS CREDIT CO SR UNSECURED 05/13 5.875 |
5/2/2013 | 5.88 | % | 3,679,043 | ||||||||
AMER EXPRESS CREDIT CO SR UNSECURED 08/13 7.3 |
8/20/2013 | 7.30 | % | 2,224,781 | ||||||||
AMER SPORTS OYJ A SHS COMMON STOCK NPV |
161,814 | |||||||||||
AMEREN CORPORATION COMMON STOCK USD.01 |
1,952,947 | |||||||||||
AMERICA S CAR MART INC COMMON STOCK USD.01 |
1,104,092 | |||||||||||
AMERICAN CAMPUS COMMUNITIES REIT USD.01 |
1,191,664 | |||||||||||
AMERICAN EXPR CENTURION NOTES 09/17 6. |
9/13/2017 | 6.00 | % | 14,700,504 | ||||||||
AMERICAN EXPRESS CO 09/15 FIXED 2.75 |
9/15/2015 | 2.75 | % | 351,856 | ||||||||
AMERICAN EXPRESS CO COMMON STOCK USD.2 |
2,818,643 | |||||||||||
AMERICAN EXPRESS CO SR UNSECURED 05/14 7.25 |
5/20/2014 | 7.25 | % | 418,791 | ||||||||
AMERICAN EXPRESS CO SR UNSECURED 05/19 8.125 |
5/20/2019 | 8.13 | % | 2,236,667 | ||||||||
AMERICAN EXPRESS CO SR UNSECURED 07/13 4.875 |
7/15/2013 | 4.88 | % | 1,934,602 | ||||||||
AMERICAN EXPRESS CO SUBORDINATED 09/66 VAR |
9/1/2066 | 6.80 | % | 4,586,950 | ||||||||
AMERICAN HONDA FINANCE SR UNSECURED 144A 04/13 4.625 |
4/2/2013 | 4.63 | % | 476,250 | ||||||||
AMERICAN HONDA FINANCE SR UNSECURED 144A 10/13 6.7 |
10/1/2013 | 6.70 | % | 895,504 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 01/14 3.65 |
1/15/2014 | 3.65 | % | 4,972,493 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 01/18 5.85 |
1/16/2018 | 5.85 | % | 1,995,151 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 01/18 5.85 |
1/16/2018 | 5.85 | % | 22,200,941 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 01/18 5.85 |
1/16/2018 | 5.85 | % | 273,844 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 03/12 4.95 |
3/20/2012 | 4.95 | % | 495,000 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 03/12 4.95 |
3/20/2012 | 4.95 | % | 297,000 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 05/17 5.45 |
5/18/2017 | 5.45 | % | 1,409,569 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 08/18 8.25 |
8/15/2018 | 8.25 | % | 13,866,363 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 10/15 5.05 |
10/1/2015 | 5.05 | % | 1,355,518 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 12/20 6.4 |
12/15/2020 | 6.40 | % | 8,618,824 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 12/20 6.4 |
12/15/2020 | 6.40 | % | 625,723 | ||||||||
AMERICAN INTL GROUP SR UNSECURED 144A 11/13 3.75 |
11/30/2013 | 3.75 | % | 981,275 | ||||||||
AMERICAN TOWER CORP CL A COMMON STOCK USD.01 |
5,892,262 | |||||||||||
AMERICAN TRANSMISSION SY SR UNSECURED 144A 01/22 5.25 |
1/15/2022 | 5.25 | % | 2,693,133 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2010 1 A3 |
3/17/2014 | 1.66 | % | 516,099 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2010 2 A2 |
10/8/2013 | 1.22 | % | 77,333 |
- 28 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2010 2 A3 |
8/8/2014 | 1.71 | % | 3,611,214 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2010 4 A2 |
5/8/2014 | 0.96 | % | 6,237,523 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2010 A A2 |
11/6/2013 | 1.46 | % | 93,188 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2011 1 A2 |
6/9/2014 | 0.84 | % | 676,604 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2011 1 A3 |
9/8/2015 | 1.39 | % | 2,913,215 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2011 2 A3 |
10/8/2015 | 1.61 | % | 662,594 | ||||||||
AMERICREDIT AUTOMOBILE RECEIVA AMCAR 2011 3 A3 |
1/8/2016 | 1.17 | % | 1,098,536 | ||||||||
AMERISOURCEBERGEN CORP COMMON STOCK USD.01 |
1,890,740 | |||||||||||
AMETEK INC COMMON STOCK USD.01 |
702,396 | |||||||||||
AMGEN INC 11/14 FIXED 1.875 |
11/15/2014 | 1.88 | % | 5,064,715 | ||||||||
AMGEN INC 11/14 FIXED 1.875 |
11/15/2014 | 1.88 | % | 3,869,442 | ||||||||
AMGEN INC 11/21 FIXED 3.875 |
11/15/2021 | 3.88 | % | 933,431 | ||||||||
AMGEN INC SR UNSECURED 06/16 2.3 |
6/15/2016 | 2.30 | % | 267,817 | ||||||||
AMGEN INC SR UNSECURED 06/16 2.3 |
6/15/2016 | 2.30 | % | 40,273 | ||||||||
AMGEN INC SR UNSECURED 06/17 5.85 |
6/1/2017 | 5.85 | % | 1,397,250 | ||||||||
AMORTIZING RESIDENTIAL COLLATE ARC 2004 1 A5 |
10/25/2034 | 0.79 | % | 2,071,201 | ||||||||
AMPHENOL CORP CL A COMMON STOCK USD.001 |
701,366 | |||||||||||
AMPHENOL CORP CL A COMMON STOCK USD.001 |
1,171,062 | |||||||||||
AMPLIFON SPA COMMON STOCK EUR.02 |
197,936 | |||||||||||
AMYLIN PHARMACEUTICALS INC COMMON STOCK USD.001 |
2,247,835 | |||||||||||
ANADARKO FINANCE CO COMPANY GUAR 05/31 7.5 |
5/1/2031 | 7.50 | % | 3,865,570 | ||||||||
ANADARKO PETROLEUM CORP COMMON STOCK USD.1 |
11,212,877 | |||||||||||
ANADARKO PETROLEUM CORP COMMON STOCK USD.1 |
3,695,441 | |||||||||||
ANADARKO PETROLEUM CORP SR UNSECURED 03/14 7.625 |
3/15/2014 | 7.63 | % | 338,810 | ||||||||
ANADARKO PETROLEUM CORP SR UNSECURED 03/14 7.625 |
3/15/2014 | 7.63 | % | 2,544,967 | ||||||||
ANADARKO PETROLEUM CORP SR UNSECURED 06/14 5.75 |
6/15/2014 | 5.75 | % | 1,479,754 | ||||||||
ANADARKO PETROLEUM CORP SR UNSECURED 09/16 5.95 |
9/15/2016 | 5.95 | % | 4,391,373 | ||||||||
ANADARKO PETROLEUM CORP SR UNSECURED 09/17 6.375 |
9/15/2017 | 6.38 | % | 788,211 | ||||||||
ANADARKO PETROLEUM CORP SR UNSECURED 09/17 6.375 |
9/15/2017 | 6.38 | % | 3,374,239 | ||||||||
ANADARKO PETROLEUM CORP SR UNSECURED 09/17 6.375 |
9/15/2017 | 6.38 | % | 394,106 | ||||||||
ANALOG DEVICES INC COMMON STOCK USD.167 |
4,184,113 | |||||||||||
ANHEUSER BUSCH COS LLC COMPANY GUAR 01/13 4.375 |
1/15/2013 | 4.38 | % | 931,019 | ||||||||
ANHEUSER BUSCH INBEV NV COMMON STOCK NPV |
797,334 | |||||||||||
ANHEUSER BUSCH INBEV WOR COMPANY GUAR 01/20 5.375 |
1/15/2020 | 5.38 | % | 809,235 | ||||||||
ANHEUSER BUSCH INBEV WOR COMPANY GUAR 03/13 2.5 |
3/26/2013 | 2.50 | % | 1,578,652 | ||||||||
ANHEUSER BUSCH INBEV WOR COMPANY GUAR 04/20 5. |
4/15/2020 | 5.00 | % | 561,633 | ||||||||
ANHEUSER BUSCH INBEV WOR COMPANY GUAR 07/14 1.5 |
7/14/2014 | 1.50 | % | 176,251 | ||||||||
ANHEUSER BUSCH INBEV WOR COMPANY GUAR 11/14 5.375 |
11/15/2014 | 5.38 | % | 4,450,068 | ||||||||
ANHEUSER BUSCH INBEV WOR COMPANY GUAR 11/14 5.375 |
11/15/2014 | 5.38 | % | 2,222,256 | ||||||||
ANHEUSER BUSCH INBEV WOR COMPANY GUAR 11/14 5.375 |
11/15/2014 | 5.38 | % | 3,394,496 | ||||||||
ANSALDO STS SPA COMMON STOCK EUR.5 |
159,259 | |||||||||||
ANSYS INC COMMON STOCK USD.01 |
2,405,989 | |||||||||||
ANZ NATIONAL (INT L) LTD BANK GUARANT 144A 12/12 2.375 |
12/21/2012 | 2.38 | % | 188,193 | ||||||||
ANZ NATIONAL (INT L) LTD SR UNSECURED 144A 08/15 3.125 |
8/10/2015 | 3.13 | % | 199,947 | ||||||||
AON CORP COMMON STOCK USD1. |
3,504,852 | |||||||||||
AON CORP COMMON STOCK USD1. |
861,120 | |||||||||||
AON CORP SR UNSECURED 09/15 3.5 |
9/30/2015 | 3.50 | % | 472,033 | ||||||||
APACHE CORP COMMON STOCK USD.625 |
3,928,455 | |||||||||||
APACHE CORP SR UNSECURED 01/37 6. |
1/15/2037 | 6.00 | % | 3,068,489 | ||||||||
APACHE CORP SR UNSECURED 09/13 6. |
9/15/2013 | 6.00 | % | 185,200 | ||||||||
APACHE CORP SR UNSECURED 09/13 6. |
9/15/2013 | 6.00 | % | 21,788 |
- 29 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
APOLLO GROUP INC CL A COMMON STOCK NPV |
11,837,933 | |||||||||||
APOLLO TYRES LTD COMMON STOCK INR1. |
171,444 | |||||||||||
APPLE INC COMMON STOCK NPV |
30,061,935 | |||||||||||
APPLE INC COMMON STOCK NPV |
47,348,550 | |||||||||||
APPLE INC COMMON STOCK NPV |
27,783,000 | |||||||||||
APPLE INC COMMON STOCK NPV |
18,817,110 | |||||||||||
APPLIED MATERIALS INC COMMON STOCK USD.01 |
6,558,269 | |||||||||||
APPLIED MICRO CIRCUITS CORP COMMON STOCK USD.01 |
2,806,944 | |||||||||||
APPROACH RESOURCES INC COMMON STOCK USD.01 |
3,014,525 | |||||||||||
APRIL COMMON STOCK EUR.4 |
59,488 | |||||||||||
AQUARIUS PLATINUM LTD COMMON STOCK NPV |
139,812 | |||||||||||
ARCELORMITTAL SR UNSECURED 03/21 5.5 |
3/1/2021 | 5.50 | % | 504,850 | ||||||||
ARCELORMITTAL SR UNSECURED 06/13 5.375 |
6/1/2013 | 5.38 | % | 3,429,388 | ||||||||
ARCELORMITTAL USA INC COMPANY GUAR 04/14 6.5 |
4/15/2014 | 6.50 | % | 3,680,228 | ||||||||
ARCH CAPITAL GROUP LTD COMMON STOCK USD.01 |
2,233,800 | |||||||||||
ARCH COAL INC COMMON STOCK USD.01 |
1,972,562 | |||||||||||
ARCHER DANIELS MIDLAND CO COMMON STOCK NPV |
6,721,000 | |||||||||||
ARGENT SECURITIES INC. ARSI 2003 W3 M1 |
9/25/2033 | 1.42 | % | 1,649,853 | ||||||||
ARGENT SECURITIES INC. ARSI 2004 W11 M2 |
11/25/2034 | 0.99 | % | 2,482,751 | ||||||||
ARGENT SECURITIES INC. ARSI 2004 W5 AV3B |
4/25/2034 | 0.74 | % | 1,029,487 | ||||||||
ARIBA INC COMMON STOCK USD.002 |
3,556,332 | |||||||||||
ARIBA INC COMMON STOCK USD.002 |
1,357,387 | |||||||||||
ARISTOTLE HOLDING INC 11/16 FIXED 3.5 144A |
11/15/2016 | 3.50 | % | 5,601,503 | ||||||||
ARKLE MASTER ISSUER PLC ARKLE 2010 2A 1A1 144A |
5/17/2060 | 1.87 | % | 8,256,123 | ||||||||
ARM HOLDINGS PLC COMMON STOCK GBP.0005 |
1,150,448 | |||||||||||
ARM HOLDINGS PLC SPONS ADR ADR NPV |
1,090,004 | |||||||||||
ARRAN RESIDENTIAL MORTGAGES FU ARRMF 2010 1A A1C 144A |
5/16/2047 | 1.66 | % | 5,266,678 | ||||||||
ARROW ELECTRONICS INC SR UNSECURED 07/13 6.875 |
7/1/2013 | 6.88 | % | 903,098 | ||||||||
ARUBA NETWORKS INC COMMON STOCK USD.0001 |
1,219,912 | |||||||||||
ARUBA NETWORKS INC COMMON STOCK USD.0001 |
850,994 | |||||||||||
ASAHI CO LTD COMMON STOCK |
269,883 | |||||||||||
ASCENA RETAIL GROUP INC COMMON STOCK USD.01 |
866,665 | |||||||||||
ASCIANO LTD COMMON STOCK NPV |
542,102 | |||||||||||
ASHMORE GROUP PLC COMMON STOCK GBP.0001 |
179,079 | |||||||||||
ASIAN PROPERTY DEVE FOREIGN COMMON STOCK THB1. A |
190,414 | |||||||||||
ASIF GLOBAL FINANCNG XIX SR SECURED 144A 01/13 4.9 |
1/17/2013 | 4.90 | % | 351,915 | ||||||||
ASM INTERNATIONAL NV COMMON STOCK EUR.04 |
271,822 | |||||||||||
ASM PACIFIC TECHNOLOGY COMMON STOCK HKD.1 |
2,375,512 | |||||||||||
ASML HOLDING N V NY REGISTERED SHS |
6,695,594 | |||||||||||
ASML HOLDING N V NY REGISTERED SHS |
2,052,098 | |||||||||||
ASML HOLDING N V NY REGISTERED SHS |
1,436,740 | |||||||||||
ASML HOLDING NV COMMON STOCK EUR.09 |
538,856 | |||||||||||
ASOS PLC COMMON STOCK GBP.035 |
103,727 | |||||||||||
ASSET BACKED SECURITIES CORP H ABSHE 2003 HE7 M1 |
12/15/2033 | 1.25 | % | 2,168,930 | ||||||||
ASTELLAS PHARMA INC COMMON STOCK |
1,758,438 | |||||||||||
ASTRAZENECA PLC COMMON STOCK USD.25 |
1,455,601 | |||||||||||
ASTRAZENECA PLC SPONS ADR ADR |
5,333,765 | |||||||||||
ASTRAZENECA PLC SR UNSECURED 09/12 5.4 |
9/15/2012 | 5.40 | % | 5,172,710 | ||||||||
AT&T CORP SR UNSECURED 03/13 6.5 |
3/15/2013 | 6.50 | % | 639 | ||||||||
AT&T INC SR UNSECURED 01/13 4.95 |
1/15/2013 | 4.95 | % | 8,337,752 | ||||||||
AT&T INC SR UNSECURED 01/13 4.95 |
1/15/2013 | 4.95 | % | 4,346,053 |
- 30 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
AT&T INC SR UNSECURED 01/38 6.3 |
1/15/2038 | 6.30 | % | 2,492,306 | ||||||||
AT&T INC SR UNSECURED 02/18 5.5 |
2/1/2018 | 5.50 | % | 1,111,229 | ||||||||
AT&T INC SR UNSECURED 02/18 5.5 |
2/1/2018 | 5.50 | % | 1,614,754 | ||||||||
AT&T INC SR UNSECURED 08/16 2.4 |
8/15/2016 | 2.40 | % | 3,519,990 | ||||||||
AT&T INC SR UNSECURED 08/21 3.875 |
8/15/2021 | 3.88 | % | 846,201 | ||||||||
AT&T INC SR UNSECURED 08/41 5.55 |
8/15/2041 | 5.55 | % | 2,295,963 | ||||||||
AT&T INC SR UNSECURED 09/14 5.1 |
9/15/2014 | 5.10 | % | 1,784,339 | ||||||||
AT&T INC SR UNSECURED 09/14 5.1 |
9/15/2014 | 5.10 | % | 4,736,209 | ||||||||
AT&T INC SR UNSECURED 09/14 5.1 |
9/15/2014 | 5.10 | % | 242,318 | ||||||||
AT&T INC SR UNSECURED 11/13 6.7 |
11/15/2013 | 6.70 | % | 4,078,913 | ||||||||
AT+T INC COMMON STOCK USD1. |
9,439,718 | |||||||||||
ATHENAHEALTH INC COMMON STOCK USD.01 |
4,423,109 | |||||||||||
ATHENAHEALTH INC COMMON STOCK USD.01 |
270,897 | |||||||||||
ATLAS AIR WORLDWIDE HOLDINGS COMMON STOCK USD.01 |
1,698,606 | |||||||||||
ATLAS COPCO AB A SHS COMMON STOCK NPV |
1,106,184 | |||||||||||
ATMEL CORP COMMON STOCK USD.001 |
721,775 | |||||||||||
ATMOS ENERGY CORP SR UNSECURED 01/13 5.125 |
1/15/2013 | 5.13 | % | 2,695,984 | ||||||||
ATMOS ENERGY CORP SR UNSECURED 10/14 4.95 |
10/15/2014 | 4.95 | % | 437,872 | ||||||||
AUST & NZ BANKING GROUP SR UNSECURED 144A 01/14 2.125 |
1/10/2014 | 2.13 | % | 199,811 | ||||||||
AUST & NZ BANKING GROUP SR UNSECURED 144A 01/14 2.125 |
1/10/2014 | 2.13 | % | 4,835,431 | ||||||||
AUSTRIAMICROSYSTEMS AG BR COMMON STOCK NPV |
244,748 | |||||||||||
AUTOMATIC DATA PROCESSING COMMON STOCK USD.1 |
10,485,717 | |||||||||||
AUTOMATIC DATA PROCESSING COMMON STOCK USD.1 |
5,562,490 | |||||||||||
AUXILIUM PHARMACEUTICALS INC COMMON STOCK USD.01 |
1,321,359 | |||||||||||
AVAGO TECHNOLOGIES LTD COMMON STOCK |
685,281 | |||||||||||
AVAGO TECHNOLOGIES LTD COMMON STOCK |
3,047,789 | |||||||||||
AVIS BUDGET RENTAL CAR FUNDING AESOP 2010 3A A 144A |
5/20/2016 | 4.64 | % | 1,276,787 | ||||||||
AVIS BUDGET RENTAL CAR FUNDING AESOP 2010 5A A 144A |
3/20/2017 | 3.15 | % | 677,587 | ||||||||
AXIS CAPITAL HOLDINGS LTD COMMON STOCK USD.0125 |
973,246 | |||||||||||
AXIS SPECIALTY FINANCE COMPANY GUAR 06/20 5.875 |
6/1/2020 | 5.88 | % | 760,795 | ||||||||
AYGAZ AS COMMON STOCK TRY1. |
163,825 | |||||||||||
BABCOCK INTL GROUP PLC COMMON STOCK GBP.6 |
179,457 | |||||||||||
BAE SYSTEMS HOLDINGS INC COMPANY GUAR 144A 06/14 4.95 |
6/1/2014 | 4.95 | % | 237,774 | ||||||||
BAE SYSTEMS HOLDINGS INC COMPANY GUAR 144A 08/15 5.2 |
8/15/2015 | 5.20 | % | 241,922 | ||||||||
BAIDU INC SPON ADR ADR USD.00005 |
6,769,935 | |||||||||||
BAIDU INC SPON ADR ADR USD.00005 |
5,490,163 | |||||||||||
BAKER HUGHES INC SR UNSECURED 09/40 5.125 |
9/15/2040 | 5.13 | % | 3,297,446 | ||||||||
BAKER HUGHES INC SR UNSECURED 11/18 7.5 |
11/15/2018 | 7.50 | % | 3,311,255 | ||||||||
BAKER HUGHES INC SR UNSECURED 11/18 7.5 |
11/15/2018 | 7.50 | % | 448,537 | ||||||||
BALLY TECHNOLOGIES INC COMMON STOCK USD.1 |
1,621,960 | |||||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2002 2 A3 |
7/11/2043 | 5.12 | % | 5,833,795 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2004 1 A4 |
11/10/2039 | 4.76 | % | 7,884,689 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 1 A2 |
9/10/2045 | 5.33 | % | 1,285,901 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 1 A2 |
9/10/2045 | 5.33 | % | 3,403,092 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 3 A4 |
7/10/2044 | 5.89 | % | 504,292 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 4 A2 |
7/10/2046 | 5.52 | % | 1,988,597 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 4 A4 |
7/10/2046 | 5.63 | % | 774,582 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 5 A2 |
9/10/2047 | 5.32 | % | 264,214 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 6 A2 |
10/10/2045 | 5.31 | % | 3,346,686 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2006 6 A3 |
10/10/2045 | 5.37 | % | 3,375,347 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2007 2 A4 |
4/10/2049 | 5.63 | % | 4,595,698 |
- 31 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2007 3 A3 |
6/10/2049 | 5.62 | % | 2,408,933 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2007 3 A3 |
6/10/2049 | 5.62 | % | 392,103 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2007 3 A4 |
6/10/2049 | 5.62 | % | 26,271,252 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2007 5 A3 |
2/10/2051 | 5.62 | % | 4,857,998 | ||||||||
BANC OF AMERICA COMMERCIAL MOR BACM 2007 5 A4 |
2/10/2051 | 5.49 | % | 4,827,233 | ||||||||
BANC OF AMERICA MORTGAGE SECUR BOAMS 2004 6 1A8 |
7/25/2034 | 5.50 | % | 115,449 | ||||||||
BANCO BILBAO VIZCAYA ARGENTA COMMON STOCK EUR.49 |
347,022 | |||||||||||
BANCO DAYCOVAL SA PREFERENCE |
66,018 | |||||||||||
BANCO SANTANDER SA COMMON STOCK EUR.5 |
634,529 | |||||||||||
BANK OF AMERICA AUTO TRUST BAAT 2009 1A A4 144A |
6/15/2016 | 3.52 | % | 1,322,854 | ||||||||
BANK OF AMERICA AUTO TRUST BAAT 2009 2A A3 144A |
9/15/2013 | 2.13 | % | 1,057,005 | ||||||||
BANK OF AMERICA AUTO TRUST BAAT 2009 2A A4 144A |
10/15/2016 | 3.03 | % | 3,492,070 | ||||||||
BANK OF AMERICA AUTO TRUST BAAT 2009 3A A3 144A |
12/15/2013 | 1.67 | % | 721,745 | ||||||||
BANK OF AMERICA AUTO TRUST BAAT 2010 1A A3 144A |
3/15/2014 | 1.39 | % | 379,693 | ||||||||
BANK OF AMERICA AUTO TRUST BAAT 2010 1A A4 144A |
2/15/2017 | 2.18 | % | 767,848 | ||||||||
BANK OF AMERICA AUTO TRUST BAAT 2010 2 A3 |
7/15/2014 | 1.31 | % | 345,877 | ||||||||
BANK OF AMERICA CORP COMMON STOCK USD.01 |
2,439,784 | |||||||||||
BANK OF AMERICA CORP FDIC GUARANT 04/12 2.1 |
4/30/2012 | 2.10 | % | 12,667,998 | ||||||||
BANK OF AMERICA CORP FDIC GUARANT 04/12 2.1 |
4/30/2012 | 2.10 | % | 25,720,607 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 01/13 4.875 |
1/15/2013 | 4.88 | % | 1,004,050 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 05/13 4.9 |
5/1/2013 | 4.90 | % | 5,754,652 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 05/13 4.9 |
5/1/2013 | 4.90 | % | 6,905,582 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 05/13 4.9 |
5/1/2013 | 4.90 | % | 325,263 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 05/14 7.375 |
5/15/2014 | 7.38 | % | 4,354,808 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 05/21 5. |
5/13/2021 | 5.00 | % | 2,541,230 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 05/21 5. |
5/13/2021 | 5.00 | % | 587,489 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 06/19 7.625 |
6/1/2019 | 7.63 | % | 2,130,487 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 06/19 7.625 |
6/1/2019 | 7.63 | % | 77,566 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 07/16 3.75 |
7/12/2016 | 3.75 | % | 7,036,984 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 07/20 5.625 |
7/1/2020 | 5.63 | % | 1,376,364 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 09/12 4.875 |
9/15/2012 | 4.88 | % | 2,244,310 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 09/12 4.875 |
9/15/2012 | 4.88 | % | 221,412 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 09/17 6. |
9/1/2017 | 6.00 | % | 18,848,920 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 09/17 6. |
9/1/2017 | 6.00 | % | 2,988,482 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 10/16 5.625 |
10/14/2016 | 5.63 | % | 1,587,774 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 12/17 5.75 |
12/1/2017 | 5.75 | % | 2,965,796 | ||||||||
BANK OF AMERICA CORP SR UNSECURED 12/17 5.75 |
12/1/2017 | 5.75 | % | 406,144 | ||||||||
BANK OF MONTREAL 10/14 FIXED 1.30 |
10/31/2014 | 1.30 | % | 499,142 | ||||||||
BANK OF MONTREAL 10/14 FIXED 1.30 |
10/31/2014 | 1.30 | % | 7,225,475 | ||||||||
BANK OF MONTREAL SR UNSECURED 06/13 2.125 |
6/28/2013 | 2.13 | % | 1,051,778 | ||||||||
BANK OF MONTREAL SR UNSECURED 06/13 2.125 |
6/28/2013 | 2.13 | % | 1,077,184 | ||||||||
BANK OF NEW YORK MELLON CORP COMMON STOCK USD.01 |
5,498,943 | |||||||||||
BANK OF NEW YORK MELLON SR UNSECURED 01/16 2.5 |
1/15/2016 | 2.50 | % | 557,009 | ||||||||
BANK OF NEW YORK MELLON SR UNSECURED 04/13 4.5 |
4/1/2013 | 4.50 | % | 3,233,474 | ||||||||
BANK OF NEW YORK MELLON SR UNSECURED 04/13 4.5 |
4/1/2013 | 4.50 | % | 208,611 | ||||||||
BANK OF NEW YORK MELLON SR UNSECURED 11/12 4.95 |
11/1/2012 | 4.95 | % | 1,249,401 | ||||||||
BANK OF NEW YORK MELLON SR UNSECURED 11/12 4.95 |
11/1/2012 | 4.95 | % | 2,073,694 | ||||||||
BANK OF NOVA SCOTIA COVERED 144A 10/15 1.65 |
10/29/2015 | 1.65 | % | 516,372 | ||||||||
BANK OF NOVA SCOTIA SR UNSECURED 01/15 3.4 |
1/22/2015 | 3.40 | % | 966,345 | ||||||||
BANK OF NOVA SCOTIA SR UNSECURED 03/16 2.9 |
3/29/2016 | 2.90 | % | 1,423,411 | ||||||||
BANK OF NOVA SCOTIA SR UNSECURED 12/13 2.375 |
12/17/2013 | 2.38 | % | 6,160,194 |
- 32 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
BANK OF NOVA SCOTIA SR UNSECURED 12/13 2.375 |
12/17/2013 | 2.38 | % | 5,954,854 | ||||||||
BANK OF SCOTLAND PLC COVERED 144A 02/17 5.25 |
2/21/2017 | 5.25 | % | 534,065 | ||||||||
BANK OF THE OZARKS COMMON STOCK USD.01 |
1,427,425 | |||||||||||
BANK SARASIN + CIE AG REG B COMMON STOCK CHF.35 |
234,782 | |||||||||||
BANKERS PETROLEUM LTD COMMON STOCK NPV |
149,562 | |||||||||||
BANQUE CANTONALE VAUDOIS REG COMMON STOCK CHF10. |
139,544 | |||||||||||
BANRO CORPORATION COMMON STOCK NPV |
1,076,559 | |||||||||||
BARCLAYS BANK PLC SR UNSECURED 01/13 2.5 |
1/23/2013 | 2.50 | % | 9,061,189 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 01/14 2.375 |
1/13/2014 | 2.38 | % | 5,672,001 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 01/14 2.375 |
1/13/2014 | 2.38 | % | 5,676,895 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 01/14 VAR |
1/13/2014 | 1.44 | % | 7,754,088 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 07/14 5.2 |
7/10/2014 | 5.20 | % | 1,876,092 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 07/14 5.2 |
7/10/2014 | 5.20 | % | 113,390 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 09/12 5.45 |
9/12/2012 | 5.45 | % | 5,721,016 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 09/16 5. |
9/22/2016 | 5.00 | % | 414,266 | ||||||||
BARCLAYS BANK PLC SR UNSECURED 09/16 5. |
9/22/2016 | 5.00 | % | 1,734,737 | ||||||||
BARCLAYS BANK PLC SUBORDINATED 144A 06/21 10.179 |
6/12/2021 | 10.18 | % | 10,890,256 | ||||||||
BARCLAYS BANK PLC SUBORDINATED 144A 12/17 6.05 |
12/4/2017 | 6.05 | % | 1,772,346 | ||||||||
BARCLAYS BANK PLC SUBORDINATED 144A 12/17 6.05 |
12/4/2017 | 6.05 | % | 8,138,322 | ||||||||
BARCLAYS PLC COMMON STOCK GBP.25 |
538,542 | |||||||||||
BARRICK GOLD CORP 05/14 FIXED 1.75 |
5/30/2014 | 1.75 | % | 2,438,809 | ||||||||
BARRICK GOLD CORP COMMON STOCK NPV |
3,250,283 | |||||||||||
BARRICK GOLD CORP SR UNSECURED 04/19 6.95 |
4/1/2019 | 6.95 | % | 1,399,986 | ||||||||
BARRICK GOLD CORP SR UNSECURED 04/19 6.95 |
4/1/2019 | 6.95 | % | 196,489 | ||||||||
BARRICK NA FINANCE LLC 05/21 FIXED 4.4 |
5/30/2021 | 4.40 | % | 2,144,332 | ||||||||
BASF SE COMMON STOCK NPV |
1,496,457 | |||||||||||
BAXTER INTERNATIONAL INC SENIOR NOTES 03/13 1.8 |
3/15/2013 | 1.80 | % | 207,434 | ||||||||
BAYER AG REG COMMON STOCK NPV |
914,346 | |||||||||||
BAYERISCHE MOTOREN WERKE AG COMMON STOCK EUR1.0 |
672,796 | |||||||||||
BAYVIEW FINANCIAL ACQUISITION BAYV 2006 A 2A4 |
2/28/2041 | 0.59 | % | 728,124 | ||||||||
BB&T CORPORATION SR UNSECURED 03/16 3.2 |
3/15/2016 | 3.20 | % | 1,673,102 | ||||||||
BB&T CORPORATION SR UNSECURED 04/14 2.05 |
4/28/2014 | 2.05 | % | 4,745,994 | ||||||||
BB&T CORPORATION SR UNSECURED 04/14 5.7 |
4/30/2014 | 5.70 | % | 437,594 | ||||||||
BB&T CORPORATION SUBORDINATED 10/12 4.75 |
10/1/2012 | 4.75 | % | 442,892 | ||||||||
BB&T CORPORATION SUBORDINATED 12/15 5.2 |
12/23/2015 | 5.20 | % | 58,883 | ||||||||
BB+T CORP COMMON STOCK USD5. |
7,381,103 | |||||||||||
BCAP LLC TRUST BCAP 2010 RR4 5A7 144A |
5/26/2037 | 0.58 | % | 624,084 | ||||||||
BCE INC COMMON STOCK NPV |
10,540,427 | |||||||||||
BE AEROSPACE INC COMMON STOCK USD.01 |
815,349 | |||||||||||
BE AEROSPACE INC COMMON STOCK USD.01 |
1,940,145 | |||||||||||
BEAM INC COMMON STOCK USD3.125 |
2,838,142 | |||||||||||
BEAR STEARNS ADJUSTABLE RATE M BSARM 2000 2 A1 |
11/25/2030 | 3.11 | % | 70,884 | ||||||||
BEAR STEARNS ADJUSTABLE RATE M BSARM 2002 11 1A1 |
2/25/2033 | 5.68 | % | 17,732 | ||||||||
BEAR STEARNS ADJUSTABLE RATE M BSARM 2003 9 2A1 |
2/25/2034 | 2.82 | % | 1,071,127 | ||||||||
BEAR STEARNS ADJUSTABLE RATE M BSARM 2004 10 22A1 |
1/25/2035 | 4.20 | % | 195,001 | ||||||||
BEAR STEARNS ADJUSTABLE RATE M BSARM 2005 2 A1 |
3/25/2035 | 2.71 | % | 7,068,975 | ||||||||
BEAR STEARNS ADJUSTABLE RATE M BSARM 2005 2 A2 |
3/25/2035 | 2.73 | % | 66,234 | ||||||||
BEAR STEARNS ALT A TRUST BALTA 2004 13 A1 |
11/25/2034 | 1.03 | % | 2,587,931 | ||||||||
BEAR STEARNS ALT A TRUST BALTA 2005 4 23A2 |
5/25/2035 | 2.60 | % | 2,195,841 | ||||||||
BEAR STEARNS ALT A TRUST BALTA 2005 7 22A1 |
9/25/2035 | 2.77 | % | 2,926,392 | ||||||||
BEAR STEARNS ASSET BACKED SECU BSABS 2003 2 A3 |
3/25/2043 | 1.04 | % | 2,232,113 |
- 33 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
BEAR STEARNS ASSET BACKED SECU BSABS 2005 SD1 1A3 |
8/25/2043 | 0.69 | % | 1,713,721 | ||||||||
BEAR STEARNS ASSET BACKED SECU BSABS 2006 HE10 21A1 |
12/25/2036 | 0.36 | % | 1,317,753 | ||||||||
BEAR STEARNS ASSET BACKED SECU BSABS 2006 SD3 1A1A |
8/25/2036 | 5.50 | % | 1,935,468 | ||||||||
BEAR STEARNS ASSET BACKED SECU BSABS 2007 HE7 1A1 |
10/25/2037 | 1.26 | % | 771,277 | ||||||||
BEAR STEARNS COMMERCIAL MORTGA BSCMS 2005 PW10 AM |
12/11/2040 | 5.45 | % | 2,086,289 | ||||||||
BEAR STEARNS COMMERCIAL MORTGA BSCMS 2006 PW11 A4 |
3/11/2039 | 5.44 | % | 2,666,193 | ||||||||
BEAR STEARNS COMMERCIAL MORTGA BSCMS 2006 PW12 A4 |
9/11/2038 | 5.72 | % | 3,123,291 | ||||||||
BEAR STEARNS COMMERCIAL MORTGA BSCMS 2006 PW14 A3 |
12/11/2038 | 5.21 | % | 4,036,472 | ||||||||
BEAR STEARNS COMMERCIAL MORTGA BSCMS 2007 PW17 A3 |
6/11/2050 | 5.74 | % | 5,691,862 | ||||||||
BEAR STEARNS COMMERCIAL MORTGA BSCMS 2007 T28 A3 |
9/11/2042 | 5.79 | % | 1,484,673 | ||||||||
BEAR STEARNS COS LLC SR UNSECURED 02/18 7.25 |
2/1/2018 | 7.25 | % | 1,172,351 | ||||||||
BEAR STEARNS COS LLC SR UNSECURED 02/18 7.25 |
2/1/2018 | 7.25 | % | 767,890 | ||||||||
BEAR STEARNS COS LLC SR UNSECURED 08/12 6.95 |
8/10/2012 | 6.95 | % | 1,348,135 | ||||||||
BEAR STEARNS COS LLC SR UNSECURED 10/17 6.4 |
10/2/2017 | 6.40 | % | 3,172,930 | ||||||||
BEAR STEARNS COS LLC SR UNSECURED 10/17 6.4 |
10/2/2017 | 6.40 | % | 1,161,918 | ||||||||
BEAR STEARNS STRUCTURED PRODUC BSSP 2007 R6 1A1 |
1/26/2036 | 2.57 | % | 104,596 | ||||||||
BEAR STEARNS STRUCTURED PRODUC BSSP 2007 R6 2A1 |
12/26/2046 | 3.92 | % | 3,238,005 | ||||||||
BEC WORLD PCL FOREIGN COMMON STOCK THB1. A |
362,853 | |||||||||||
BECTON DICKINSON AND CO COMMON STOCK USD1. |
2,783,320 | |||||||||||
BED BATH + BEYOND INC COMMON STOCK USD.01 |
3,325,913 | |||||||||||
BELDEN INC COMMON STOCK USD.01 |
1,452,838 | |||||||||||
BELLSOUTH CORP SR UNSECURED 11/12 4.75 |
11/15/2012 | 4.75 | % | 124,017 | ||||||||
BERKSHIRE HATHAWAY FIN COMPANY GUAR 01/14 1.5 |
1/10/2014 | 1.50 | % | 9,605,640 | ||||||||
BERKSHIRE HATHAWAY FIN COMPANY GUAR 04/12 4. |
4/15/2012 | 4.00 | % | 2,907,871 | ||||||||
BERKSHIRE HATHAWAY FIN COMPANY GUAR 05/13 4.6 |
5/15/2013 | 4.60 | % | 525,921 | ||||||||
BERKSHIRE HATHAWAY FIN COMPANY GUAR 05/18 5.4 |
5/15/2018 | 5.40 | % | 2,635,653 | ||||||||
BERKSHIRE HATHAWAY FIN COMPANY GUAR 07/14 5.1 |
7/15/2014 | 5.10 | % | 1,934,377 | ||||||||
BERKSHIRE HATHAWAY FIN COMPANY GUAR 08/13 5. |
8/15/2013 | 5.00 | % | 958,366 | ||||||||
BERKSHIRE HATHAWAY INC SR UNSECURED 02/13 2.125 |
2/11/2013 | 2.13 | % | 8,019,628 | ||||||||
BERKSHIRE HATHAWAY INC SR UNSECURED 02/15 3.2 |
2/11/2015 | 3.20 | % | 21,203 | ||||||||
BERKSHIRE HATHAWAY INC SR UNSECURED 02/15 3.2 |
2/11/2015 | 3.20 | % | 434,666 | ||||||||
BERKSHIRE HILLS BANCORP INC COMMON STOCK USD.01 |
1,432,254 | |||||||||||
BERRY PETROLEUM CO CLASS A COMMON STOCK USD.01 |
824,600 | |||||||||||
BERRY PETROLEUM CO CLASS A COMMON STOCK USD.01 |
1,233,245 | |||||||||||
BEST BUY CO INC COMMON STOCK USD.1 |
944,452 | |||||||||||
BG GROUP PLC COMMON STOCK GBP.1 |
4,392,673 | |||||||||||
BHP BILLITON FIN USA LTD COMPANY GUAR 03/12 5.125 |
3/29/2012 | 5.13 | % | 3,336,389 | ||||||||
BHP BILLITON FIN USA LTD COMPANY GUAR 03/12 5.125 |
3/29/2012 | 5.13 | % | 3,336,389 | ||||||||
BHP BILLITON FIN USA LTD COMPANY GUAR 04/14 5.5 |
4/1/2014 | 5.50 | % | 4,678,229 | ||||||||
BHP BILLITON FINANCE COMPANY GUAR 04/13 4.8 |
4/15/2013 | 4.80 | % | 2,844,383 | ||||||||
BHP BILLITON FINANCE COMPANY GUAR 04/13 4.8 |
4/15/2013 | 4.80 | % | 974,464 | ||||||||
BHP BILLITON PLC COMMON STOCK USD.5 |
3,799,649 | |||||||||||
BILL BARRETT CORP COMMON STOCK USD.001 |
1,107,275 | |||||||||||
BIO RAD LABORATORIES A COMMON STOCK USD.0001 |
1,152,480 | |||||||||||
BIOGEN IDEC INC COMMON STOCK USD.0005 |
3,763,710 | |||||||||||
BIOGEN IDEC INC COMMON STOCK USD.0005 |
5,612,550 | |||||||||||
BIRMINGHAM AL COMMERCIAL DEV A BIRDEV 04/41 FIXED OID 5.5 |
4/1/2041 | 5.50 | % | 160,505 | ||||||||
BJ S RESTAURANTS INC COMMON STOCK NPV |
1,312,920 | |||||||||||
BK TOKYO MITSUBISHI UFJ SR UNSECURED 144A 01/13 2.6 |
1/22/2013 | 2.60 | % | 407,848 | ||||||||
BK TOKYO MITSUBISHI UFJ SR UNSECURED 144A 01/13 2.6 |
1/22/2013 | 2.60 | % | 3,984,366 | ||||||||
BK TOKYO MITSUBISHI UFJ SR UNSECURED 144A 01/15 3.85 |
1/22/2015 | 3.85 | % | 1,644,449 |
- 34 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
BLACKROCK ACTIVE INTERNATIONAL EQUITY FUND F |
193,927,271 | |||||||||||
BLACKROCK ACTIVE STOCK FUND E |
469,045,750 | |||||||||||
BLACKROCK COREALPHA BOND FUND E |
528,608,176 | |||||||||||
BLACKROCK INC COMMON STOCK USD.01 |
7,013,744 | |||||||||||
BLACKROCK INC COMMON STOCK USD.01 |
3,931,083 | |||||||||||
BLACKROCK INC SR UNSECURED 12/12 2.25 |
12/10/2012 | 2.25 | % | 3,796,627 | ||||||||
BLACKROCK INC SR UNSECURED 12/14 3.5 |
12/10/2014 | 3.50 | % | 1,110,539 | ||||||||
BLACKROCK iSHARES EMERGING MARKETS INDEX FUND |
66,146,986 | |||||||||||
BLACKROCK MONEY MARKET FUND |
614,170 | |||||||||||
BLACKROCK U.S. REAL ESTATE INDEX FUND F |
63,849,401 | |||||||||||
BLACKROCK US TREASURY INFLATION PROTECTED SECURITIES FUND F |
|
82,424,298 | ||||||||||
BLUE LABEL TELECOMS LTD COMMON STOCK ZAR.000.01 |
133,416 | |||||||||||
BLUESTREAM VENTURES |
1,288,278 | |||||||||||
BMW UNSPONSORED ADR ADR |
1,542,962 | |||||||||||
BNP PARIBAS COMMON STOCK EUR2.0 |
548,274 | |||||||||||
BNP PARIBAS HOME LOAN COVERED 144A 11/15 2.2 |
11/2/2015 | 2.20 | % | 3,555,882 | ||||||||
BOEING CO COMMON STOCK* |
5,270,316,180 | |||||||||||
BOK FINANCIAL CORPORATION COMMON STOCK USD.00006 |
2,054,382 | |||||||||||
BOOZ ALLEN HAMILTON HOLDING COMMON STOCK USD.01 |
1,158,424 | |||||||||||
BORGWARNER INC COMMON STOCK USD.01 |
3,630,312 | |||||||||||
BOSTON SCIENTIFIC CORP COMMON STOCK USD.01 |
2,123,585 | |||||||||||
BOSTON SCIENTIFIC CORP SR UNSECURED 01/20 6. |
1/15/2020 | 6.00 | % | 368,392 | ||||||||
BOTTLING GROUP LLC COMPANY GUAR 01/19 5.125 |
1/15/2019 | 5.13 | % | 356,998 | ||||||||
BOTTLING GROUP LLC COMPANY GUAR 04/16 5.5 |
4/1/2016 | 5.50 | % | 289,623 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 03/12 3.125 |
3/10/2012 | 3.13 | % | 4,355,889 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 03/12 3.125 |
3/10/2012 | 3.13 | % | 4,355,889 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 03/14 VAR |
3/11/2014 | 1.14 | % | 5,956,984 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 03/15 3.875 |
3/10/2015 | 3.88 | % | 1,174,588 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 03/15 3.875 |
3/10/2015 | 3.88 | % | 2,407,905 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 03/15 3.875 |
3/10/2015 | 3.88 | % | 160,171 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 10/15 3.125 |
10/1/2015 | 3.13 | % | 13,930,726 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 10/15 3.125 |
10/1/2015 | 3.13 | % | 591,794 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 10/20 4.5 |
10/1/2020 | 4.50 | % | 10,903,573 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 11/13 5.25 |
11/7/2013 | 5.25 | % | 128,708 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 11/13 5.25 |
11/7/2013 | 5.25 | % | 3,560,912 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 11/13 5.25 |
11/7/2013 | 5.25 | % | 3,229,490 | ||||||||
BP CAPITAL MARKETS PLC COMPANY GUAR 11/13 5.25 |
11/7/2013 | 5.25 | % | 493,379 | ||||||||
BP CAPITAL PLC 11/21 FIXED 3.561 |
11/1/2021 | 3.56 | % | 239,449 | ||||||||
BP CAPITAL PLC 11/21 FIXED 3.561 |
11/1/2021 | 3.56 | % | 635,061 | ||||||||
BP PLC COMMON STOCK USD.25 |
2,339,010 | |||||||||||
BPCE SA SR UNSECURED 144A 10/13 2.375 |
10/4/2013 | 2.38 | % | 11,332,047 | ||||||||
BPCE SA SR UNSECURED 144A 10/13 2.375 |
10/4/2013 | 2.38 | % | 4,113,436 | ||||||||
BRADKEN LTD COMMON STOCK NPV |
302,877 | |||||||||||
BRADY CORPORATION CL A COMMON STOCK USD.01 |
1,744,716 | |||||||||||
BRANDYWINE REALTY TRUST REIT USD.01 |
1,734,225 | |||||||||||
BRAVO BRIO RESTAURANT GROUP COMMON STOCK USD.001 |
837,435 | |||||||||||
BRAZOS HIGHER EDUCATION AUTHOR BRHEA 2010 1 A2 |
2/25/2035 | 1.71 | % | 1,500,320 | ||||||||
BRENNTAG AG COMMON STOCK NPV |
843,045 | |||||||||||
BRISTOL MYERS SQUIBB CO COMMON STOCK USD.1 |
4,888,669 | |||||||||||
BRISTOL MYERS SQUIBB CO COMMON STOCK USD.1 |
3,871,396 | |||||||||||
BRISTOW GROUP INC COMMON STOCK USD.01 |
403,763 |
- 35 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
BRITISH AMERICAN TOBACCO PLC COMMON STOCK GBP.25 |
1,620,017 | |||||||||||
BRITISH TELECOM PLC SR UNSECURED 01/18 5.95 |
1/15/2018 | 5.95 | % | 1,243,214 | ||||||||
BRITVIC PLC COMMON STOCK GBP.2 |
287,974 | |||||||||||
BROADCOM CORP CL A COMMON STOCK USD.0001 |
3,214,920 | |||||||||||
BROADCOM CORP CL A COMMON STOCK USD.0001 |
2,908,049 | |||||||||||
BROOKDALE SENIOR LIVING INC COMMON STOCK USD.01 |
1,304,250 | |||||||||||
BROWN + BROWN INC COMMON STOCK USD.1 |
900,674 | |||||||||||
BRUKER CORP COMMON STOCK USD.01 |
1,163,754 | |||||||||||
BRUNEL INTERNATIONAL COMMON STOCK EUR.05 |
141,945 | |||||||||||
BUCKEYE OH TOBACCO SETTLEMENT BUCGEN 06/47 FIXED OID 5.875 |
6/1/2047 | 5.88 | % | 14,705,060 | ||||||||
BUFFALO WILD WINGS INC COMMON STOCK NPV |
680,906 | |||||||||||
BUNGE LIMITED FINANCE CO COMPANY GUAR 05/13 5.875 |
5/15/2013 | 5.88 | % | 286,224 | ||||||||
BUNGE LTD COMMON STOCK USD.01 |
1,492,920 | |||||||||||
BURBERRY GROUP PLC COMMON STOCK GBP.0005 |
800,511 | |||||||||||
BURBERRY GROUP PLC SPON ADR ADR |
3,012,611 | |||||||||||
BURLINGTN NORTH SANTA FE SR UNSECURED 03/18 5.75 |
3/15/2018 | 5.75 | % | 963,925 | ||||||||
C.H. ROBINSON WORLDWIDE INC COMMON STOCK USD.1 |
1,505,224 | |||||||||||
C+C GROUP PLC COMMON STOCK EUR.01 |
147,910 | |||||||||||
CABOT OIL + GAS CORP COMMON STOCK USD.1 |
387,925 | |||||||||||
CADBURY SCHWEPPES US FIN COMPANY GUAR 144A 10/13 5.125 |
10/1/2013 | 5.13 | % | 713,966 | ||||||||
CADENCE PHARMACEUTICALS INC COMMON STOCK USD.0001 |
329,430 | |||||||||||
CAISSE CENTRALE DESJARDN SR UNSECURED 144A 09/13 1.7 |
9/16/2013 | 1.70 | % | 6,011,879 | ||||||||
CAISSE CENTRALE DESJARDN SR UNSECURED 144A 09/15 2.65 |
9/16/2015 | 2.65 | % | 3,729,770 | ||||||||
CALIFORNIA ST CAS 03/19 FIXED 6.2 |
3/1/2019 | 6.20 | % | 226,206 | ||||||||
CALIFORNIA ST CAS 04/16 FIXED 5.95 |
4/1/2016 | 5.95 | % | 562,870 | ||||||||
CALIFORNIA ST CAS 04/34 FIXED 7.5 |
4/1/2034 | 7.50 | % | 4,079,490 | ||||||||
CALIFORNIA ST CAS 04/39 FIXED 7.55 |
4/1/2039 | 7.55 | % | 7,458,592 | ||||||||
CALIFORNIA ST CAS 06/37 FIXED 5 |
6/1/2037 | 5.00 | % | 2,649,296 | ||||||||
CALIFORNIA ST CAS 08/28 FIXED 4.5 |
8/1/2028 | 4.50 | % | 4,189,585 | ||||||||
CALIFORNIA ST CAS 10/19 FIXED 6.2 |
10/1/2019 | 6.20 | % | 2,056,446 | ||||||||
CALIFORNIA ST CAS 11/32 FIXED 5 |
11/1/2032 | 5.00 | % | 4,151,320 | ||||||||
CALIFORNIA ST CAS 11/37 FIXED 5 |
11/1/2037 | 5.00 | % | 1,224,252 | ||||||||
CALIX NETWORKS INC COMMON STOCK |
1,193,327 | |||||||||||
CAMECO CORP COMMON STOCK NPV |
2,298,451 | |||||||||||
CANADIAN IMPERIAL BANK COVERED 144A 02/13 2. |
2/4/2013 | 2.00 | % | 3,986,905 | ||||||||
CANADIAN IMPERIAL BANK SR UNSECURED 12/15 2.35 |
12/11/2015 | 2.35 | % | 231,396 | ||||||||
CANADIAN NAT L RAILWAY SR UNSECURED 03/13 4.4 |
3/15/2013 | 4.40 | % | 182,445 | ||||||||
CANADIAN NATL RAILWAY CO COMMON STOCK NPV |
1,974,998 | |||||||||||
CANADIAN NATL RAILWAY SR UNSECURED 01/14 4.95 |
1/15/2014 | 4.95 | % | 398,821 | ||||||||
CANADIAN NATL RAILWAY SR UNSECURED 07/18 6.8 |
7/15/2018 | 6.80 | % | 770,768 | ||||||||
CANADIAN NATL RESOURCES SR UNSECURED 02/13 5.15 |
2/1/2013 | 5.15 | % | 7,745,337 | ||||||||
CANADIAN NATL RESOURCES SR UNSECURED 05/17 5.7 |
5/15/2017 | 5.70 | % | 354,708 | ||||||||
CANADIAN NATL RESOURCES SR UNSECURED 12/14 4.9 |
12/1/2014 | 4.90 | % | 401,257 | ||||||||
CANADIAN PACIFIC RAILWAY LTD COMMON STOCK NPV |
1,140,510 | |||||||||||
CANON INC COMMON STOCK |
1,208,746 | |||||||||||
CAPITAL AUTO RECEIVABLES ASSET CARAT 2007 3 A4 |
3/17/2014 | 5.21 | % | 187,089 | ||||||||
CAPITAL ONE BANK USA NA SUBORDINATED 06/13 6.5 |
6/13/2013 | 6.50 | % | 2,162,338 | ||||||||
CAPITAL ONE FINANCIAL CO SR UNSECURED 05/14 7.375 |
5/23/2014 | 7.38 | % | 988,841 | ||||||||
CAPITAL ONE FINANCIAL CO SR UNSECURED 05/14 7.375 |
5/23/2014 | 7.38 | % | 439,485 | ||||||||
CAPITAL ONE FINANCIAL CO SR UNSECURED 05/14 7.375 |
5/23/2014 | 7.38 | % | 3,433,475 | ||||||||
CAPITAL ONE FINANCIAL CO SR UNSECURED 07/21 4.75 |
7/15/2021 | 4.75 | % | 5,042,654 |
- 36 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
CAPITAL ONE FINANCIAL CORP COMMON STOCK USD.01 |
6,742,517 | |||||||||||
CAPITAL ONE FINANCIAL SR UNSECURED 06/15 5.5 |
6/1/2015 | 5.50 | % | 190,004 | ||||||||
CARBO CERAMICS INC COMMON STOCK USD.01 |
498,747 | |||||||||||
CARDINAL HEALTH INC COMMON STOCK NPV |
3,413,474 | |||||||||||
CARDINAL HEALTH INC SR UNSECURED 06/12 5.65 |
6/15/2012 | 5.65 | % | 1,020,366 | ||||||||
CAREFUSION CORP COMMON STOCK USD.01 |
1,712,634 | |||||||||||
CARGILL INC SR UNSECURED 144A 06/13 4.375 |
6/1/2013 | 4.38 | % | 375,350 | ||||||||
CARLISLE COS INC COMMON STOCK USD1. |
832,840 | |||||||||||
CARLSBERG BREWERY MALAY BHD COMMON STOCK MYR.5 |
273,172 | |||||||||||
CARMAX AUTO OWNER TRUST CARMX 2009 1 A3 |
3/15/2013 | 4.12 | % | 777,814 | ||||||||
CARMAX AUTO OWNER TRUST CARMX 2009 2 A3 |
4/15/2014 | 1.74 | % | 824,213 | ||||||||
CARMAX AUTO OWNER TRUST CARMX 2010 3 A4 |
2/16/2016 | 1.41 | % | 805,435 | ||||||||
CARPENTER TECHNOLOGY COMMON STOCK USD5. |
1,981,980 | |||||||||||
CATALYST HEALTH SOLUTIONS IN COMMON STOCK USD.01 |
1,157,884 | |||||||||||
CATALYST HEALTH SOLUTIONS IN COMMON STOCK USD.01 |
2,431,000 | |||||||||||
CATALYST HEALTH SOLUTIONS IN COMMON STOCK USD.01 |
2,459,600 | |||||||||||
CATCHER TECHNOLOGY CO LTD COMMON STOCK TWD10. |
1,809,670 | |||||||||||
CATCHER TECHNOLOGY CO LTD COMMON STOCK TWD10. |
(237,844 | ) | ||||||||||
CATERPILLAR FIN SERV CRP SR UNSECURED 02/14 6.125 |
2/17/2014 | 6.13 | % | 1,743,804 | ||||||||
CATERPILLAR FIN SERV CRP SR UNSECURED 08/13 4.9 |
8/15/2013 | 4.90 | % | 6,047,218 | ||||||||
CATERPILLAR FIN SERV CRP SR UNSECURED 09/13 6.2 |
9/30/2013 | 6.20 | % | 3,401,143 | ||||||||
CATERPILLAR FIN SERV CRP SR UNSECURED 09/13 6.2 |
9/30/2013 | 6.20 | % | 468,747 | ||||||||
CATERPILLAR FINANCIAL SE SR UNSECURED 05/14 1.375 |
5/20/2014 | 1.38 | % | 4,181,703 | ||||||||
CATERPILLAR INC SR UNSECURED 05/14 1.375 |
5/27/2014 | 1.38 | % | 9,307,548 | ||||||||
CATERPILLAR INC SR UNSECURED 05/21 3.9 |
5/27/2021 | 3.90 | % | 1,372,323 | ||||||||
CATERPILLAR INC SR UNSECURED 05/21 3.9 |
5/27/2021 | 3.90 | % | 1,641,298 | ||||||||
CATLIN GROUP LTD COMMON STOCK USD.01 |
413,175 | |||||||||||
CBIZ INC COMMON STOCK USD.01 |
448,474 | |||||||||||
CBS CORP COMPANY GUAR 05/14 8.2 |
5/15/2014 | 8.20 | % | 283,451 | ||||||||
CEBU AIR INC COMMON STOCK PHP1. |
106,387 | |||||||||||
CELANESE CORP SERIES A COMMON STOCK USD.0001 |
5,852,494 | |||||||||||
CELANESE CORP SERIES A COMMON STOCK USD.0001 |
2,346,310 | |||||||||||
CELGENE CORP COMMON STOCK USD.01 |
3,707,860 | |||||||||||
CELGENE CORP COMMON STOCK USD.01 |
6,486,964 | |||||||||||
CELLCO PART/VERI WIRELSS SR UNSECURED 02/12 5.25 |
2/1/2012 | 5.25 | % | 2,895,948 | ||||||||
CELLCO PART/VERI WIRELSS SR UNSECURED 02/14 5.55 |
2/1/2014 | 5.55 | % | 4,052,500 | ||||||||
CELLCO PART/VERI WIRELSS SR UNSECURED 02/14 5.55 |
2/1/2014 | 5.55 | % | 597,554 | ||||||||
CELLCO PART/VERI WIRELSS SR UNSECURED 02/14 5.55 |
2/1/2014 | 5.55 | % | 7,061,997 | ||||||||
CELLCO PART/VERI WIRELSS SR UNSECURED 11/18 8.5 |
11/15/2018 | 8.50 | % | 499,389 | ||||||||
CENOVUS ENERGY INC COMMON STOCK NPV |
1,100,169 | |||||||||||
CENOVUS ENERGY INC SR UNSECURED 10/19 5.7 |
10/15/2019 | 5.70 | % | 422,267 | ||||||||
CENTENE CORP COMMON STOCK USD.001 |
1,480,270 | |||||||||||
CENTERPOINT ENER HOUSTON GENL REF MOR 03/14 7. |
3/1/2014 | 7.00 | % | 185,470 | ||||||||
CENTERPOINT ENERGY RESOU SR UNSECURED 01/14 5.95 |
1/15/2014 | 5.95 | % | 531,778 | ||||||||
CENTERPOINT ENERGY RESOU SR UNSECURED 04/13 7.875 |
4/1/2013 | 7.88 | % | 269,359 | ||||||||
CENTRAIS ELEC BRAS ADR PREF ADR NPV |
340,750 | |||||||||||
CENTRICA PLC COMMON STOCK GBP.061728 |
436,630 | |||||||||||
CERNER CORP COMMON STOCK USD.01 |
12,225,500 | |||||||||||
CEVA INC COMMON STOCK USD.001 |
1,522,683 | |||||||||||
CFAO COMMON STOCK |
793,208 | |||||||||||
CHARLES SCHWAB CORP SR UNSECURED 06/14 4.95 |
6/1/2014 | 4.95 | % | 731,528 |
- 37 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
CHART INDUSTRIES INC COMMON STOCK USD.01 |
849,980 | |||||||||||
CHASE MORTGAGE FINANCE CORPORA CHASE 2007 A1 1A1 |
2/25/2037 | 2.78 | % | 272,820 | ||||||||
CHECK POINT SOFTWARE TECH COMMON STOCK USD.01 |
11,717,471 | |||||||||||
CHEMTURA CORP COMMON STOCK USD.01 |
723,492 | |||||||||||
CHESAPEAKE ENERGY CORP COMMON STOCK USD.01 |
1,551,540 | |||||||||||
CHESAPEAKE UTILITIES CORP COMMON STOCK USD.4867 |
1,164,641 | |||||||||||
CHEVRON CORP COMMON STOCK USD.75 |
1,399,160 | |||||||||||
CHEVRON CORP COMMON STOCK USD.75 |
8,209,824 | |||||||||||
CHICAGO BRIDGE + IRON NY SHR NY REG SHRS EUR.01 |
800,717 | |||||||||||
CHICAGO BRIDGE + IRON NY SHR NY REG SHRS EUR.01 |
2,351,160 | |||||||||||
CHICAGO IL CHI 01/32 FIXED 4.75 |
1/1/2032 | 4.75 | % | 9,363,035 | ||||||||
CHICAGO IL CHI 01/39 FIXED OID 5 |
1/1/2039 | 5.00 | % | 2,749,714 | ||||||||
CHICAGO IL O HARE INTERNATIONA CHIAPT 01/31 FIXED OID 5.5 |
1/1/2031 | 5.50 | % | 460,858 | ||||||||
CHICAGO IL O HARE INTERNATIONA CHIAPT 01/35 FIXED OID 5.625 |
1/1/2035 | 5.63 | % | 229,417 | ||||||||
CHICAGO IL TRANSIT AUTH SALES CHITRN 12/40 FIXED 6.899 |
12/1/2040 | 6.90 | % | 472,356 | ||||||||
CHICAGO IL TRANSIT AUTH SALES CHITRN 12/40 FIXED 6.899 |
12/1/2040 | 6.90 | % | 590,445 | ||||||||
CHICO S FAS INC COMMON STOCK USD.01 |
1,154,271 | |||||||||||
CHILDREN S PLACE COMMON STOCK USD.1 |
1,510,202 | |||||||||||
CHINA AUTOMATION GROUP COMMON STOCK HKD.01 |
91,546 | |||||||||||
CHINA METAL RECYCLING COMMON STOCK HKD.0001 |
145,361 | |||||||||||
CHINA RESOURCES GAS GROUP LT COMMON STOCK HKD.1 |
277,264 | |||||||||||
CHIPOTLE MEXICAN GRILL INC COMMON STOCK USD.01 |
4,668,580 | |||||||||||
CHIYODA CORP COMMON STOCK |
223,889 | |||||||||||
CHROMA ATE INC COMMON STOCK TWD10. |
1,140,172 | |||||||||||
CHROMA ATE INC COMMON STOCK TWD10. |
(41,313 | ) | ||||||||||
CHROMA ATE INC COMMON STOCK TWD10. |
239,136 | |||||||||||
CHRYSLER FINANCIAL AUTO SECURI CFAST 2009 A A3 |
1/15/2016 | 2.82 | % | 1,681,492 | ||||||||
CHRYSLER FINANCIAL AUTO SECURI CFAST 2010 A A3 |
8/8/2013 | 0.91 | % | 2,242,273 | ||||||||
CHUBB CORP COMMON STOCK USD1. |
2,815,870 | |||||||||||
CHUBB CORP SR UNSECURED 05/37 6. |
5/11/2037 | 6.00 | % | 2,423,698 | ||||||||
CIE FINANCIERE RICHEMON BR A COMMON STOCK CHF1. |
501,926 | |||||||||||
CIGNA CORP 02/22 FIXED 4.0 |
2/15/2022 | 4.00 | % | 1,188,882 | ||||||||
CIGNA CORP COMMON STOCK USD.25 |
2,634,240 | |||||||||||
CIGNA CORP SR UNSECURED 03/17 5.375 |
3/15/2017 | 5.38 | % | 1,057,066 | ||||||||
CIGNA CORP SR UNSECURED 12/20 4.375 |
12/15/2020 | 4.38 | % | 280,963 | ||||||||
CIPUTRA DEVELOPMENT TBK PT COMMON STOCK IDR250. |
273,737 | |||||||||||
CISCO SYSTEMS INC COMMON STOCK USD.001 |
14,431,583 | |||||||||||
CISCO SYSTEMS INC COMMON STOCK USD.001 |
20,771,425 | |||||||||||
CISCO SYSTEMS INC COMMON STOCK USD.001 |
12,717,472 | |||||||||||
CISCO SYSTEMS INC COMMON STOCK USD.001 |
2,671,320 | |||||||||||
CISCO SYSTEMS INC SR UNSECURED 02/16 5.5 |
2/22/2016 | 5.50 | % | 651,689 | ||||||||
CISCO SYSTEMS INC SR UNSECURED 03/14 1.625 |
3/14/2014 | 1.63 | % | 5,913,797 | ||||||||
CIT GROUP HOME EQUITY LOAN TRU CITHE 2002 1 AF5 |
2/25/2033 | 6.71 | % | 280,283 | ||||||||
CIT GROUP HOME EQUITY LOAN TRU CITHE 2002 1 AF5 |
2/25/2033 | 6.71 | % | 280,283 | ||||||||
CITIBANK CREDIT CARD ISSUANCE CCCIT 2003 A7 A7 |
7/7/2017 | 4.15 | % | 1,081,620 | ||||||||
CITIBANK CREDIT CARD ISSUANCE CCCIT 2005 A9 A9 |
11/20/2017 | 5.10 | % | 2,574,796 | ||||||||
CITIBANK CREDIT CARD ISSUANCE CCCIT 2007 A8 A8 |
9/20/2019 | 5.65 | % | 2,040,188 | ||||||||
CITIBANK NA FDIC GUARANT 12/12 1.75 |
12/28/2012 | 1.75 | % | 5,685,590 | ||||||||
CITIBANK NA FDIC GUARANT 12/12 1.75 |
12/28/2012 | 1.75 | % | (5,685,411 | ) | |||||||
CITIBANK NA FDIC GUARANT 12/12 1.75 |
12/28/2012 | 1.75 | % | 3,929,149 | ||||||||
CITIFINANCIAL AUTO ISSUANCE TR CFAIT 2009 1 A3 144A |
10/15/2013 | 2.59 | % | 3,175,473 |
- 38 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
CITIGROUP COMMERCIAL MORTGAGE CGCMT 2005 C3 A2 |
5/15/2043 | 4.64 | % | 2,032,565 | ||||||||
CITIGROUP INC FDIC GUARANT 04/12 2.125 |
4/30/2012 | 2.13 | % | 11,727,671 | ||||||||
CITIGROUP INC FDIC GUARANT 04/12 2.125 |
4/30/2012 | 2.13 | % | 23,811,701 | ||||||||
CITIGROUP INC SR UNSECURED 01/15 6.01 |
1/15/2015 | 6.01 | % | 2,580,421 | ||||||||
CITIGROUP INC SR UNSECURED 01/15 6.01 |
1/15/2015 | 6.01 | % | 1,295,434 | ||||||||
CITIGROUP INC SR UNSECURED 03/38 6.875 |
3/5/2038 | 6.88 | % | 2,504,838 | ||||||||
CITIGROUP INC SR UNSECURED 04/13 5.5 |
4/11/2013 | 5.50 | % | 510,462 | ||||||||
CITIGROUP INC SR UNSECURED 04/13 5.5 |
4/11/2013 | 5.50 | % | 5,104,615 | ||||||||
CITIGROUP INC SR UNSECURED 05/14 5.125 |
5/5/2014 | 5.13 | % | 6,140,448 | ||||||||
CITIGROUP INC SR UNSECURED 05/14 5.125 |
5/5/2014 | 5.13 | % | 11,150,030 | ||||||||
CITIGROUP INC SR UNSECURED 05/15 4.75 |
5/19/2015 | 4.75 | % | 506,380 | ||||||||
CITIGROUP INC SR UNSECURED 06/16 3.953 |
6/15/2016 | 3.95 | % | 2,023,003 | ||||||||
CITIGROUP INC SR UNSECURED 08/13 6.5 |
8/19/2013 | 6.50 | % | 2,133,974 | ||||||||
CITIGROUP INC SR UNSECURED 08/14 6.375 |
8/12/2014 | 6.38 | % | 808,131 | ||||||||
CITIGROUP INC SR UNSECURED 08/14 6.375 |
8/12/2014 | 6.38 | % | 2,020,328 | ||||||||
CITIGROUP INC SR UNSECURED 08/20 5.375 |
8/9/2020 | 5.38 | % | 4,760,895 | ||||||||
CITIGROUP INC SR UNSECURED 10/12 5.3 |
10/17/2012 | 5.30 | % | 10,162 | ||||||||
CITIGROUP INC SR UNSECURED 10/14 5.5 |
10/15/2014 | 5.50 | % | 616,828 | ||||||||
CITIGROUP INC SR UNSECURED 10/14 5.5 |
10/15/2014 | 5.50 | % | 1,305,620 | ||||||||
CITIGROUP INC SR UNSECURED 11/17 6.125 |
11/21/2017 | 6.13 | % | 33,511,053 | ||||||||
CITIGROUP INC SR UNSECURED 11/17 6.125 |
11/21/2017 | 6.13 | % | 1,760,931 | ||||||||
CITIGROUP INC SR UNSECURED 12/13 6. |
12/13/2013 | 6.00 | % | 2,617,940 | ||||||||
CITIGROUP INC SR UNSECURED 12/13 6. |
12/13/2013 | 6.00 | % | 4,035,560 | ||||||||
CITIGROUP INC SR UNSECURED 12/13 6. |
12/13/2013 | 6.00 | % | 5,587,699 | ||||||||
CITIGROUP INC SR UNSECURED 12/15 4.587 |
12/15/2015 | 4.59 | % | 5,232,258 | ||||||||
CITIGROUP INC SR UNSECURED 12/15 4.587 |
12/15/2015 | 4.59 | % | 513,262 | ||||||||
CITIGROUP INC SUBORDINATED 09/14 5. |
9/15/2014 | 5.00 | % | 791,766 | ||||||||
CITIGROUP INC UNSECURED 05/19 8.5 |
5/22/2019 | 8.50 | % | 1,071,148 | ||||||||
CITIGROUP MORTGAGE LOAN TRUST CMLTI 2005 6 A1 |
9/25/2035 | 2.23 | % | 80,063 | ||||||||
CITIGROUP MORTGAGE LOAN TRUST CMLTI 2008 AR4 1A1A 144A |
11/25/2038 | 5.12 | % | 839,520 | ||||||||
CITIGROUP/DEUTSCHE BANK COMMER CD 2005 CD1 A4 |
7/15/2044 | 5.23 | % | 1,768,294 | ||||||||
CITIGROUP/DEUTSCHE BANK COMMER CD 2006 CD2 A3 |
1/15/2046 | 5.41 | % | 5,217,931 | ||||||||
CITIGROUP/DEUTSCHE BANK COMMER CD 2006 CD2 A4 |
1/15/2046 | 5.34 | % | 1,621,803 | ||||||||
CITIGROUP/DEUTSCHE BANK COMMER CD 2006 CD3 A2 |
10/15/2048 | 5.56 | % | 1,089,467 | ||||||||
CITRIX SYSTEMS INC COMMON STOCK USD.001 |
3,425,458 | |||||||||||
CLARCOR INC COMMON STOCK USD1. |
1,109,978 | |||||||||||
CLARCOR INC COMMON STOCK USD1. |
924,815 | |||||||||||
CLARK CNTY NV PASSENGER FAC CH CLAAPT 07/39 FIXED 5.25 |
7/1/2039 | 5.25 | % | 260,083 | ||||||||
CLEAN HARBORS INC COMMON STOCK USD.01 |
2,262,415 | |||||||||||
CLECO CORPORATION COMMON STOCK USD1. |
697,230 | |||||||||||
CLICKS GROUP LTD COMMON STOCK ZAR.01 |
297,356 | |||||||||||
CLUB MEDITERRANEE SA COMMON STOCK EUR4. |
239,171 | |||||||||||
CME GROUP INC SR UNSECURED 02/14 5.75 |
2/15/2014 | 5.75 | % | 758,650 | ||||||||
CME GROUP INC SR UNSECURED 08/13 5.4 |
8/1/2013 | 5.40 | % | 482,732 | ||||||||
CMS ENERGY CORP COMMON STOCK USD.01 |
1,879,008 | |||||||||||
CNA FINANCIAL CORP COMMON STOCK USD2.5 |
891,604 | |||||||||||
CNA FINANCIAL CORP SR UNSECURED 12/14 5.85 |
12/15/2014 | 5.85 | % | 516,320 | ||||||||
CNH EQUIPMENT TRUST CNH 2009 B A4 |
10/15/2014 | 5.17 | % | 1,325,848 | ||||||||
CNH EQUIPMENT TRUST CNH 2009 C A3 |
12/16/2013 | 1.85 | % | 7,887 | ||||||||
CNH EQUIPMENT TRUST CNH 2010 A A3 |
7/15/2014 | 1.54 | % | 502,941 | ||||||||
CNH EQUIPMENT TRUST CNH 2011 A A3 |
5/16/2016 | 1.20 | % | 1,934,071 |
- 39 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
CNH EQUIPMENT TRUST CNH 2011 B A3 |
8/15/2016 | 0.91 | % | 1,047,067 | ||||||||
COACH INC COMMON STOCK USD.01 |
3,389,673 | |||||||||||
COBIZ FINANCIAL INC COMMON STOCK USD.01 |
1,620,678 | |||||||||||
COCA COLA CO/THE COMMON STOCK USD.25 |
6,080,393 | |||||||||||
COCA COLA CO/THE COMMON STOCK USD.25 |
15,071,538 | |||||||||||
COCA COLA CO/THE SR UNSECURED 03/14 3.625 |
3/15/2014 | 3.63 | % | 532,260 | ||||||||
COCA COLA CO/THE SR UNSECURED 09/16 1.8 |
9/1/2016 | 1.80 | % | 1,932,589 | ||||||||
COCA COLA CO/THE SR UNSECURED 09/16 1.8 |
9/1/2016 | 1.80 | % | 4,231,352 | ||||||||
COCA COLA REFRESH USA SR UNSECURED 03/12 3.75 |
3/1/2012 | 3.75 | % | 1,450,372 | ||||||||
COGNIZANT TECH SOLUTIONS A COMMON STOCK USD.01 |
11,742,684 | |||||||||||
COLGATE PALMOLIVE CO SR UNSECURED 05/13 4.2 |
5/15/2013 | 4.20 | % | 5,461,092 | ||||||||
COLGATE PALMOLIVE CO SR UNSECURED 05/14 1.25 |
5/1/2014 | 1.25 | % | 3,558,546 | ||||||||
COMCAST CABLE COMM HLDGS COMPANY GUAR 03/13 8.375 |
3/15/2013 | 8.38 | % | 1,000,513 | ||||||||
COMCAST CABLE COMMUNICAT COMPANY GUAR 05/17 8.875 |
5/1/2017 | 8.88 | % | 1,432,583 | ||||||||
COMCAST CABLE COMMUNICAT COMPANY GUAR 05/17 8.875 |
5/1/2017 | 8.88 | % | 193,592 | ||||||||
COMCAST CABLE COMMUNICAT COMPANY GUAR 06/13 7.125 |
6/15/2013 | 7.13 | % | 1,394,267 | ||||||||
COMCAST CABLE COMMUNICAT COMPANY GUAR 06/13 7.125 |
6/15/2013 | 7.13 | % | 2,931,759 | ||||||||
COMCAST CABLE COMMUNICAT COMPANY GUAR 06/13 7.125 |
6/15/2013 | 7.13 | % | 368,911 | ||||||||
COMCAST CORP COMPANY GUAR 01/14 5.3 |
1/15/2014 | 5.30 | % | 6,142,046 | ||||||||
COMCAST CORP COMPANY GUAR 01/15 6.5 |
1/15/2015 | 6.50 | % | 952,254 | ||||||||
COMCAST CORP COMPANY GUAR 01/15 6.5 |
1/15/2015 | 6.50 | % | 6,399,375 | ||||||||
COMCAST CORP COMPANY GUAR 01/15 6.5 |
1/15/2015 | 6.50 | % | 1,224,327 | ||||||||
COMCAST CORP COMPANY GUAR 02/18 5.875 |
2/15/2018 | 5.88 | % | 537,664 | ||||||||
COMCAST CORP COMPANY GUAR 02/18 5.875 |
2/15/2018 | 5.88 | % | 1,607,211 | ||||||||
COMCAST CORP COMPANY GUAR 03/16 5.9 |
3/15/2016 | 5.90 | % | 1,968,698 | ||||||||
COMCAST CORP COMPANY GUAR 03/16 5.9 |
3/15/2016 | 5.90 | % | 520,789 | ||||||||
COMCAST CORP COMPANY GUAR 06/35 5.65 |
6/15/2035 | 5.65 | % | 231,992 | ||||||||
COMCAST CORP SPECIAL CL A COMMON STOCK USD1. |
2,569,689 | |||||||||||
COMERICA INC COMMON STOCK USD5. |
2,187,118 | |||||||||||
COMERICA INC SR UNSECURED 09/15 3. |
9/16/2015 | 3.00 | % | 296,243 | ||||||||
COMMERCE BANCSHARES INC COMMON STOCK USD5. |
1,699,695 | |||||||||||
COMMERCIAL MORTGAGE ASSET TRUS CMAT 1999 C1 D |
1/17/2032 | 7.35 | % | 1,288,302 | ||||||||
COMMERCIAL MORTGAGE PASS THROU COMM 2006 C7 A3 |
6/10/2046 | 5.69 | % | 4,200,578 | ||||||||
COMMERCIAL MORTGAGE PASS THROU COMM 2006 CN2A A1 144A |
2/5/2019 | 5.36 | % | 1,909,470 | ||||||||
COMMONWEALTH EDISON 1ST MORTGAGE 01/14 1.625 |
1/15/2014 | 1.63 | % | 6,426,274 | ||||||||
COMMONWEALTH EDISON 1ST MORTGAGE 03/12 6.15 |
3/15/2012 | 6.15 | % | 2,248,879 | ||||||||
COMPASS GROUP PLC COMMON STOCK GBP.1 |
1,370,883 | |||||||||||
COMPLETE PRODUCTION SERVICES COMMON STOCK USD.01 |
1,071,772 | |||||||||||
COMPLETE PRODUCTION SERVICES COMMON STOCK USD.01 |
940,183 | |||||||||||
COMPUTER PROGRAMS + SYSTEMS COMMON STOCK USD.001 |
1,094,776 | |||||||||||
COMPUTER SCIENCES CORP COMMON STOCK USD1. |
976,061 | |||||||||||
CONMED CORP COMMON STOCK USD.01 |
1,517,739 | |||||||||||
CONOCO INC SR UNSECURED 04/29 6.95 |
4/15/2029 | 6.95 | % | 3,101,498 | ||||||||
CONOCOPHILLIPS COMPANY GUAR 01/15 4.6 |
1/15/2015 | 4.60 | % | 374,932 | ||||||||
CONOCOPHILLIPS COMPANY GUAR 01/15 4.6 |
1/15/2015 | 4.60 | % | 4,534,575 | ||||||||
CONOCOPHILLIPS COMPANY GUAR 01/20 6. |
1/15/2020 | 6.00 | % | 913,853 | ||||||||
CONOCOPHILLIPS COMPANY GUAR 02/19 5.75 |
2/1/2019 | 5.75 | % | 174,725 | ||||||||
CONSOL ENERGY INC COMMON STOCK USD.01 |
767,360 | |||||||||||
CONSTANT CONTACT INC COMMON STOCK USD.01 |
1,484,976 | |||||||||||
CONSTELLATION ENERGY GRO SR UNSECURED 12/20 5.15 |
12/1/2020 | 5.15 | % | 3,136,054 | ||||||||
CONSTELLATION ENERGY GRP SR UNSECURED 06/15 4.55 |
6/15/2015 | 4.55 | % | 5,548,387 |
- 40 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
CONTINENTAL AG COMMON STOCK NPV |
491,172 | |||||||||||
CONTL AIRLINES 2007 1 PASS THRU CE 10/23 5.983 |
10/19/2023 | 5.98 | % | 1,616,179 | ||||||||
CONTL AIRLINES 2007 1 PASS THRU CE 10/23 5.983 |
10/19/2023 | 5.98 | % | 222,587 | ||||||||
COOKSON GROUP PLC COMMON STOCK GBP1. |
180,356 | |||||||||||
COOPER COS INC/THE COMMON STOCK USD.1 |
1,119,082 | |||||||||||
COPPER MOUNTAIN MINING CORP COMMON STOCK |
175,272 | |||||||||||
CORE LABORATORIES N.V. COMMON STOCK EUR.02 |
1,299,600 | |||||||||||
CORE LABORATORIES N.V. COMMON STOCK EUR.02 |
1,299,030 | |||||||||||
CORE MARK HOLDING CO INC COMMON STOCK USD.01 |
1,187,881 | |||||||||||
CORPORATE EXECUTIVE BOARD CO COMMON STOCK USD.01 |
2,343,150 | |||||||||||
CORVEL CORP COMMON STOCK USD.0001 |
1,085,910 | |||||||||||
COSTAR GROUP INC COMMON STOCK USD.01 |
3,036,215 | |||||||||||
COSTCO WHOLESALE CORP COMMON STOCK USD.005 |
5,537,364 | |||||||||||
COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2005 36 3A1 |
8/25/2035 | 2.73 | % | 858,821 | ||||||||
COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2005 38 A3 |
9/25/2035 | 0.64 | % | 666,839 | ||||||||
COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2006 OA21 A1 |
3/20/2047 | 0.47 | % | 2,142,692 | ||||||||
COUNTRYWIDE ALTERNATIVE LOAN T CWALT 2006 OA9 2A1A |
7/20/2046 | 0.49 | % | 189,700 | ||||||||
COUNTRYWIDE ASSET BACKED CERTI CWL 2001 BC3 A |
12/25/2031 | 0.74 | % | 155,518 | ||||||||
COUNTRYWIDE ASSET BACKED CERTI CWL 2005 4 AF3 |
10/25/2035 | 4.46 | % | 479,225 | ||||||||
COUNTRYWIDE ASSET BACKED CERTI CWL 2007 QH1 A1 144A |
2/25/2037 | 0.49 | % | 439,729 | ||||||||
COUNTRYWIDE ASSET BACKED CERTI CWL 2007 SD1 A1 144A |
3/25/2047 | 0.74 | % | 354,688 | ||||||||
COUNTRYWIDE FINL CORP COMPANY GUAR 06/12 5.8 |
6/7/2012 | 5.80 | % | 70,147 | ||||||||
COUNTRYWIDE FINL CORP COMPANY GUAR 06/12 5.8 |
6/7/2012 | 5.80 | % | 50,105 | ||||||||
COUNTRYWIDE HOME EQUITY LOAN T CWHEL 2005 F 2A |
12/15/2035 | 0.52 | % | 282,824 | ||||||||
COUNTRYWIDE HOME LOANS CWHL 2003 56 6A1 |
12/25/2033 | 2.93 | % | 455,241 | ||||||||
COUNTRYWIDE HOME LOANS CWHL 2004 R2 1AF1 144A |
11/25/2034 | 0.71 | % | 292,377 | ||||||||
COUNTRYWIDE HOME LOANS CWHL 2005 11 3A1 |
4/25/2035 | 3.03 | % | 984,985 | ||||||||
COUNTRYWIDE HOME LOANS CWHL 2005 11 3A3 |
4/25/2035 | 3.00 | % | 130,895 | ||||||||
COUNTRYWIDE HOME LOANS CWHL 2005 3 1A2 |
4/25/2035 | 0.58 | % | 509,351 | ||||||||
COUNTRYWIDE HOME LOANS CWHL 2005 R1 1AF1 144A |
3/25/2035 | 0.65 | % | 1,378,792 | ||||||||
COUNTRYWIDE HOME LOANS CWHL 2006 OA5 2A1 |
4/25/2046 | 0.49 | % | 972,411 | ||||||||
COVANCE INC COMMON STOCK USD.01 |
596,143 | |||||||||||
COVE ENERGY PLC COMMON STOCK GBP.01 |
222,100 | |||||||||||
COVENTRY HEALTH CARE INC COMMON STOCK USD.01 |
2,390,119 | |||||||||||
COVENTRY HEALTH CARE INC SR UNSECURED 06/21 5.45 |
6/15/2021 | 5.45 | % | 827,851 | ||||||||
COVIDIEN PLC COMMON STOCK USD.2 |
5,965,175 | |||||||||||
COVIDIEN PLC COMMON STOCK USD.2 |
5,657,757 | |||||||||||
COX COMMUNICATIONS INC NEW NT |
6/1/2013 | 4.63 | % | 3,162,492 | ||||||||
COX COMMUNICATIONS INC SR UNSECURED 12/14 5.45 |
12/15/2014 | 5.45 | % | 638,266 | ||||||||
COX COMMUNICATIONS INC SR UNSECURED 12/14 5.45 |
12/15/2014 | 5.45 | % | 999,024 | ||||||||
COX COMMUNICATIONS INC SR UNSECURED 12/14 5.45 |
12/15/2014 | 5.45 | % | 3,574,287 | ||||||||
COX COMMUNICATIONS INC SR UNSECURED 12/14 5.45 |
12/15/2014 | 5.45 | % | 1,087,826 | ||||||||
CRANE CO COMMON STOCK USD1. |
2,006,195 | |||||||||||
CREDIT AG HOME LOAN SFH COVERED 144A 07/14 VAR |
7/21/2014 | 1.16 | % | 192,144 | ||||||||
CREDIT AGRICOLE LONDON SR UNSECURED 144A 01/14 2.625 |
1/21/2014 | 2.63 | % | 1,477,574 | ||||||||
CREDIT AGRICOLE SA JR SUBORDINA 144A 10/49 VAR |
12/31/2049 | 8.38 | % | 2,970,000 | ||||||||
CREDIT BASED ASSET SERVICING A CBASS 2006 CB2 AF4 |
12/25/2036 | 5.12 | % | 958,843 | ||||||||
CREDIT SUISSE 01/20 FIXED 5.4 |
1/14/2020 | 5.40 | % | 7,498,162 | ||||||||
CREDIT SUISSE MORTGAGE CAPITAL CSMC 2006 C2 A3 |
3/15/2039 | 5.66 | % | 1,567,506 | ||||||||
CREDIT SUISSE MORTGAGE CAPITAL CSMC 2006 C3 A3 |
6/15/2038 | 5.81 | % | 3,603,907 | ||||||||
CREDIT SUISSE MORTGAGE CAPITAL CSMC 2006 C3 AM |
6/15/2038 | 5.81 | % | 1,060,164 |
- 41 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
CREDIT SUISSE NEW YORK SR UNSECURED 03/15 3.5 |
3/23/2015 | 3.50 | % | 3,464,349 | ||||||||
CREDIT SUISSE NEW YORK SR UNSECURED 05/13 5. |
5/15/2013 | 5.00 | % | 5,129,035 | ||||||||
CREDIT SUISSE NEW YORK SR UNSECURED 05/13 5. |
5/15/2013 | 5.00 | % | 9,929,812 | ||||||||
CREDIT SUISSE NEW YORK SR UNSECURED 05/14 5.5 |
5/1/2014 | 5.50 | % | 925,084 | ||||||||
CREDIT SUISSE NEW YORK SR UNSECURED 08/20 4.375 |
8/5/2020 | 4.38 | % | 1,000,079 | ||||||||
CREDIT SUISSE NEW YORK SUBORDINATED 02/18 6. |
2/15/2018 | 6.00 | % | 922,126 | ||||||||
CREDIT SUISSE USA INC BANK GUARANT 08/15 5.125 |
8/15/2015 | 5.13 | % | 3,476,075 | ||||||||
CRESUD S.A. SPONS ADR ADR USD1. |
300,969 | |||||||||||
CRH PLC COMMON STOCK EUR.32 |
744,616 | |||||||||||
CROCS INC COMMON STOCK USD.001 |
393,310 | |||||||||||
CROWN CASTLE TOWERS LLC SR SECURED 144A 01/40 6.113 |
1/15/2040 | 6.11 | % | 10,967,190 | ||||||||
CROWN CASTLE TOWERS LLC SR SECURED 144A 08/35 3.214 |
8/15/2035 | 3.21 | % | 515,699 | ||||||||
CROWN HOLDINGS INC COMMON STOCK USD5. |
661,022 | |||||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2002 CP3 A3 |
7/15/2035 | 5.60 | % | 9,638,793 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2002 CP5 A2 |
12/15/2035 | 4.94 | % | 9,716,462 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2003 C5 A3 |
12/15/2036 | 4.43 | % | 73,010 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2003 CPN1 A1 |
3/15/2035 | 3.73 | % | 41,364 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2004 8 6A1 |
12/25/2019 | 4.50 | % | 1,296,896 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2004 AR5 7A2 |
6/25/2034 | 2.57 | % | 644,283 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2004 C2 A1 |
5/15/2036 | 3.82 | % | 49,554 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2004 C2 A1 |
5/15/2036 | 3.82 | % | 49,554 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2005 C2 A4 |
4/15/2037 | 4.83 | % | 5,000,472 | ||||||||
CS FIRST BOSTON MORTGAGE SECUR CSFB 2005 C5 A4 |
8/15/2038 | 5.10 | % | 2,315,318 | ||||||||
CSX CORP SR UNSECURED 02/14 5.3 |
2/15/2014 | 5.30 | % | 432,742 | ||||||||
CSX CORP SR UNSECURED 02/19 7.375 |
2/1/2019 | 7.38 | % | 1,339,906 | ||||||||
CSX CORP SR UNSECURED 03/12 6.3 |
3/15/2012 | 6.30 | % | 3,045,054 | ||||||||
CSX CORP SR UNSECURED 05/17 5.6 |
5/1/2017 | 5.60 | % | 314,473 | ||||||||
CSX CORP SR UNSECURED 08/13 5.5 |
8/1/2013 | 5.50 | % | 2,719,790 | ||||||||
CTS EVENTIM COMMON STOCK NPV |
89,628 | |||||||||||
CUBIC CORP COMMON STOCK NPV |
1,462,183 | |||||||||||
CULLEN/FROST BANKERS INC COMMON STOCK USD.01 |
919,576 | |||||||||||
CVS CAREMARK CORP COMMON STOCK USD.01 |
4,237,858 | |||||||||||
CVS CAREMARK CORP COMMON STOCK USD.01 |
2,504,300 | |||||||||||
CVS CAREMARK CORP SR UNSECURED 03/19 6.6 |
3/15/2019 | 6.60 | % | 2,315,925 | ||||||||
CVS CAREMARK CORP SR UNSECURED 03/19 6.6 |
3/15/2019 | 6.60 | % | 938,559 | ||||||||
CVS CAREMARK CORP SR UNSECURED 06/17 5.75 |
6/1/2017 | 5.75 | % | 1,114,334 | ||||||||
CVS PASS THROUGH TRUST PASS THRU CE 01/30 6.943 |
1/10/2030 | 6.94 | % | 4,272,454 | ||||||||
CWCAPITAL COBALT CWCI 2006 C1 A2 |
8/15/2048 | 5.17 | % | 3,641,571 | ||||||||
CWCAPITAL COBALT CWCI 2007 C2 AAB |
4/15/2047 | 5.42 | % | 980,514 | ||||||||
CYBERAGENT INC COMMON STOCK |
208,037 | |||||||||||
CYPRESS SEMICONDUCTOR CORP COMMON STOCK USD.01 |
1,135,008 | |||||||||||
DAH SING FINANCIAL COMMON STOCK HKD2.0 |
143,692 | |||||||||||
DAIICHI SANKYO CO LTD COMMON STOCK |
4,507,194 | |||||||||||
DAIKIN INDUSTRIES LTD COMMON STOCK |
95,181 | |||||||||||
DAIMLER AG REGISTERED SHARES COMMON STOCK NPV |
683,220 | |||||||||||
DAIMLER CHRYSLER AUTO TRUST DCAT 2007 A A4 |
3/8/2013 | 5.28 | % | 432,094 | ||||||||
DAIMLER CHRYSLER AUTO TRUST DCAT 2008 A A4 |
8/8/2014 | 4.48 | % | 444,576 | ||||||||
DAIMLER FINANCE NA LLC 09/16 FIXED 2.625 |
9/15/2016 | 2.63 | % | 2,723,987 | ||||||||
DAIMLERCHRYSLER NORTH AMER HLD SR NT |
11/15/2013 | 6.50 | % | 1,356,050 | ||||||||
DAIMLERCHRYSLER NORTH AMER HLD SR NT |
11/15/2013 | 6.50 | % | 1,633,796 | ||||||||
DAIMLERCHRYSLER NORTH AMER HLD SR NT |
11/15/2013 | 6.50 | % | 2,505,153 |
- 42 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
DAIRY CREST GROUP PLC COMMON STOCK GBP.25 |
269,564 | |||||||||||
DAIWA SECURITIES GR SPON ADR ADR |
1,019,244 | |||||||||||
DALIAN PORT (PDA) CO LTD H COMMON STOCK CNY1. |
189,813 | |||||||||||
DANAHER CORP COMMON STOCK USD.01 |
3,862,454 | |||||||||||
DANAHER CORP COMMON STOCK USD.01 |
16,938,634 | |||||||||||
DANAHER CORP SR UNSECURED 06/14 1.3 |
6/23/2014 | 1.30 | % | 425,020 | ||||||||
DANONE COMMON STOCK EUR.25 |
2,537,178 | |||||||||||
DAPHNE INTERNATIONAL HOLDING COMMON STOCK HKD.1 |
256,161 | |||||||||||
DARDEN RESTAURANTS INC COMMON STOCK NPV |
1,668,228 | |||||||||||
DAVITA INC COMMON STOCK USD.001 |
6,822,900 | |||||||||||
DAVITA INC COMMON STOCK USD.001 |
2,062,032 | |||||||||||
DAWSON GEOPHYSICAL CO COMMON STOCK USD.333 |
1,206,060 | |||||||||||
DBUBS MORTGAGE TRUST DBUBS 2011 LC3A A2 |
8/10/2044 | 3.64 | % | 684,739 | ||||||||
DEAN FOODS CO COMMON STOCK USD.01 |
1,492,915 | |||||||||||
DEDERAL HOME LN MTG CORP SER 3305 CL PA |
1/15/2030 | 5.50 | % | 20,191 | ||||||||
DELHAIZE GROUP COMPANY GUAR 06/17 6.5 |
6/15/2017 | 6.50 | % | 922,629 | ||||||||
DELL INC SR UNSECURED 04/13 4.7 |
4/15/2013 | 4.70 | % | 392,600 | ||||||||
DELL INC SR UNSECURED 04/14 2.1 |
4/1/2014 | 2.10 | % | 6,961,092 | ||||||||
DELL INC SR UNSECURED 04/16 3.1 |
4/1/2016 | 3.10 | % | 621,838 | ||||||||
DELMARVA PWR & LIGHT CO 1ST MORTGAGE 12/13 6.4 |
12/1/2013 | 6.40 | % | 945,813 | ||||||||
DELTA AIR LINES 2007 1 A PASS THRU CE 02/24 6.821 |
2/10/2024 | 6.82 | % | 970,953 | ||||||||
DELTA AIR LINES 2007 1 A PASS THRU CE 02/24 6.821 |
2/10/2024 | 6.82 | % | 134,197 | ||||||||
DENBURY RESOURCES INC COMMON STOCK USD.001 |
1,283,500 | |||||||||||
DENDREON CORP SR UNSECURED 01/16 2.875 |
1/15/2016 | 2.88 | % | 326,783 | ||||||||
DENVER ARENA TR ARENA REVENUE BKD NT 144A |
11/15/2019 | 6.94 | % | 1,523,641 | ||||||||
DETOUR GOLD CORP COMMON STOCK NPV |
234,643 | |||||||||||
DEUTSCHE ALT A SECURITIES INC DBALT 2006 OA1 A1 |
2/25/2047 | 0.49 | % | 714,624 | ||||||||
DEUTSCHE BANK AG LONDON SR UNSECURED 01/13 2.375 |
1/11/2013 | 2.38 | % | 486,369 | ||||||||
DEUTSCHE BANK AG LONDON SR UNSECURED 01/13 2.375 |
1/11/2013 | 2.38 | % | 3,374,803 | ||||||||
DEUTSCHE BANK AG LONDON SR UNSECURED 05/13 4.875 |
5/20/2013 | 4.88 | % | 1,686,637 | ||||||||
DEUTSCHE BANK AG REGISTERED COMMON STOCK NPV |
1,361,842 | |||||||||||
DEUTSCHE BK FINL LLC BANK GUARANT 03/15 5.375 |
3/2/2015 | 5.38 | % | 392,448 | ||||||||
DEUTSCHE MORTGAGE SECURITIES, DMSI 2004 4 7AR2 |
6/25/2034 | 0.74 | % | 544,633 | ||||||||
DEUTSCHE POST AG REG COMMON STOCK NPV |
600,241 | |||||||||||
DEUTSCHE TELEKOM AG REG COMMON STOCK NPV |
770,076 | |||||||||||
DEUTSCHE TELEKOM INT FIN COMPANY GUAR 03/16 5.75 |
3/23/2016 | 5.75 | % | 556,439 | ||||||||
DEUTSCHE TELEKOM INT FIN COMPANY GUAR 07/13 5.25 |
7/22/2013 | 5.25 | % | 4,203,612 | ||||||||
DEUTSCHE TELEKOM INT FIN COMPANY GUAR 07/14 4.875 |
7/8/2014 | 4.88 | % | 585,583 | ||||||||
DEUTSCHE TELEKOM INT FIN COMPANY GUAR 08/13 5.875 |
8/20/2013 | 5.88 | % | 265,014 | ||||||||
DEVON ENERGY CORPORATION SR UNSECURED 04/32 7.95 |
4/15/2032 | 7.95 | % | 3,334,682 | ||||||||
DEXIA CREDIT LOCAL GOVT LIQUID 144A 04/14 2.75 |
4/29/2014 | 2.75 | % | 11,722,101 | ||||||||
DIAGEO CAPITAL PLC COMPANY GUAR 01/13 5.2 |
1/30/2013 | 5.20 | % | 3,147,883 | ||||||||
DIAGEO CAPITAL PLC COMPANY GUAR 01/14 7.375 |
1/15/2014 | 7.38 | % | 2,031,561 | ||||||||
DIAGEO CAPITAL PLC COMPANY GUAR 07/20 4.828 |
7/15/2020 | 4.83 | % | 5,382,651 | ||||||||
DIAGEO PLC COMMON STOCK GBP.893518 |
1,824,064 | |||||||||||
DIAGEO PLC SPONSORED ADR ADR |
5,835,285 | |||||||||||
DICK S SPORTING GOODS INC COMMON STOCK USD.01 |
1,013,573 | |||||||||||
DIGITAL RIVER INC COMMON STOCK USD.01 |
993,498 | |||||||||||
DIRECTV HOLDINGS/FING COMPANY GUAR 02/16 3.125 |
2/15/2016 | 3.13 | % | 321,119 | ||||||||
DIRECTV HOLDINGS/FING COMPANY GUAR 02/16 3.125 |
2/15/2016 | 3.13 | % | 7,344,207 | ||||||||
DIRECTV HOLDINGS/FING COMPANY GUAR 03/16 3.5 |
3/1/2016 | 3.50 | % | 2,371,125 |
- 43 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
DIRECTV HOLDINGS/FING COMPANY GUAR 03/16 3.5 |
3/1/2016 | 3.50 | % | 592,781 | ||||||||
DIRECTV HOLDINGS/FING COMPANY GUAR 10/14 4.75 |
10/1/2014 | 4.75 | % | 1,485,227 | ||||||||
DIRECTV HOLDINGS/FING COMPANY GUAR 10/19 5.875 |
10/1/2019 | 5.88 | % | 1,391,266 | ||||||||
DISCOVER BANK SUBORDINATED 11/19 8.7 |
11/18/2019 | 8.70 | % | 1,767,287 | ||||||||
DISCOVERY COMMUNICATIONS COMPANY GUAR 06/15 3.7 |
6/1/2015 | 3.70 | % | 468,025 | ||||||||
DISCOVERY COMMUNICATIONS COMPANY GUAR 06/15 3.7 |
6/1/2015 | 3.70 | % | 7,651,416 | ||||||||
DNB BOLIGKREDITT AS COVERED 144A 10/16 2.1 |
10/14/2016 | 2.10 | % | 1,126,795 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 01/19 8.875 |
1/15/2019 | 8.88 | % | 1,287,231 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 01/19 8.875 |
1/15/2019 | 8.88 | % | 404,748 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 03/14 1.8 |
3/15/2014 | 1.80 | % | 2,600,409 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 06/18 6.4 |
6/15/2018 | 6.40 | % | 4,362,810 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 06/18 6.4 |
6/15/2018 | 6.40 | % | 1,158,588 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 09/12 5.7 |
9/17/2012 | 5.70 | % | 671,794 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 09/12 5.7 |
9/17/2012 | 5.70 | % | 2,919,719 | ||||||||
DOMINION RESOURCES INC SR UNSECURED 09/12 5.7 |
9/17/2012 | 5.70 | % | 403,076 | ||||||||
DOREL INDUSTRIES CL B COMMON STOCK NPV |
120,442 | |||||||||||
DOW CHEM CO 11/21 FIXED 4.125 |
11/15/2021 | 4.13 | % | 1,723,210 | ||||||||
DOW CHEMICAL CO/THE SR UNSECURED 02/15 5.9 |
2/15/2015 | 5.90 | % | 489,597 | ||||||||
DOW CHEMICAL CO/THE SR UNSECURED 05/14 7.6 |
5/15/2014 | 7.60 | % | 678,491 | ||||||||
DOW CHEMICAL CO/THE SR UNSECURED 05/14 7.6 |
5/15/2014 | 7.60 | % | 1,752,768 | ||||||||
DOW CHEMICAL CO/THE SR UNSECURED 08/12 4.85 |
8/15/2012 | 4.85 | % | 1,534,614 | ||||||||
DR CI LABO CO LTD COMMON STOCK |
212,893 | |||||||||||
DRAGON OIL PLC COMMON STOCK EUR.1 |
1,750,274 | |||||||||||
DRIL QUIP INC COMMON STOCK USD.01 |
1,777,140 | |||||||||||
DSW INC CLASS A COMMON STOCK NPV |
801,616 | |||||||||||
DU PONT (E.I.) DE NEMOURS COMMON STOCK USD.3 |
2,121,354 | |||||||||||
DUFRY AG REG COMMON STOCK CHF5. |
1,540,125 | |||||||||||
DUKE CAP CORP SR NT |
2/15/2013 | 6.25 | % | 314,510 | ||||||||
DUKE ENERGY CAROLINAS 1ST REF MORT 11/13 5.75 |
11/15/2013 | 5.75 | % | 521,983 | ||||||||
DUKE ENERGY CAROLINAS SR UNSECURED 11/12 5.625 |
11/30/2012 | 5.63 | % | 5,020,520 | ||||||||
DUKE ENERGY CAROLINAS SR UNSECURED 11/12 5.625 |
11/30/2012 | 5.63 | % | 687,742 | ||||||||
DUKE ENERGY CORP SR UNSECURED 06/13 5.65 |
6/15/2013 | 5.65 | % | 708,309 | ||||||||
DUKE ENERGY INDIANA INC 1ST MORTGAGE 07/20 3.75 |
7/15/2020 | 3.75 | % | 257,702 | ||||||||
DUN + BRADSTREET CORP COMMON STOCK USD.01 |
1,874,492 | |||||||||||
DUN + BRADSTREET CORP COMMON STOCK USD.01 |
149,687 | |||||||||||
DUNKIN BRANDS GROUP INC COMMON STOCK |
1,154,076 | |||||||||||
DUNKIN BRANDS GROUP INC COMMON STOCK |
623,201 | |||||||||||
DUPONT FABROS TECHNOLOGY REIT USD.001 |
801,682 | |||||||||||
E.I. DU PONT DE NEMOURS SR UNSECURED 07/13 5. |
7/15/2013 | 5.00 | % | 4,355,524 | ||||||||
E.ON AG COMMON STOCK NPV |
1,164,154 | |||||||||||
EAGLE BANCORP INC COMMON STOCK USD.01 |
1,696,673 | |||||||||||
EARTHLINK INC COMMON STOCK USD.01 |
1,758,732 | |||||||||||
EAST WEST BANCORP INC COMMON STOCK USD.001 |
1,354,850 | |||||||||||
EASTMAN CHEMICAL CO COMMON STOCK USD.01 |
1,550,682 | |||||||||||
EATON CORP COMMON STOCK USD.5 |
1,854,378 | |||||||||||
EBAY INC COMMON STOCK USD.001 |
6,617,399 | |||||||||||
EBAY INC COMMON STOCK USD.001 |
3,545,122 | |||||||||||
EBAY INC SR UNSECURED 10/15 1.625 |
10/15/2015 | 1.63 | % | 402,740 | ||||||||
ECOLAB INC 12/14 FIXED 2.375 |
12/8/2014 | 2.38 | % | 1,350,735 | ||||||||
ECOLAB INC 12/21 FIXED 4.35 |
12/8/2021 | 4.35 | % | 907,706 | ||||||||
ECOLAB INC 12/21 FIXED 4.35 |
12/8/2021 | 4.35 | % | 784,898 |
- 44 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
EDUCATION FUNDING CAPITAL TRUS EFCT 2003 3 A6 |
12/15/2042 | 1.52 | % | 459,954 | ||||||||
EDUCATION REALTY TRUST INC REIT USD.01 |
1,749,084 | |||||||||||
EISAI CO LTD COMMON STOCK |
4,428,326 | |||||||||||
EKSPORTFINANS ASA SR UNSECURED 05/16 5.5 |
5/25/2016 | 5.50 | % | 4,093,960 | ||||||||
EKSPORTFINANS ASA SR UNSECURED 06/17 5.5 |
6/26/2017 | 5.50 | % | 1,364,825 | ||||||||
ELAN CORP PLC SPONS ADR ADR |
8,598,836 | |||||||||||
ELEKTA AB B SHS COMMON STOCK NPV |
926,507 | |||||||||||
ELI LILLY & CO SR UNSECURED 03/12 3.55 |
3/6/2012 | 3.55 | % | 2,360,254 | ||||||||
ELI LILLY & CO SR UNSECURED 03/12 3.55 |
3/6/2012 | 3.55 | % | 2,360,254 | ||||||||
ELI LILLY & CO SR UNSECURED 03/14 4.2 |
3/6/2014 | 4.20 | % | 3,750,142 | ||||||||
ELI LILLY & CO SR UNSECURED 03/17 5.2 |
3/15/2017 | 5.20 | % | 5,342,583 | ||||||||
ELI LILLY + CO COMMON STOCK NPV |
6,178,933 | |||||||||||
ELRINGKLINGER AG COMMON STOCK NPV |
251,475 | |||||||||||
EMBARQ CORP SR UNSECURED 06/16 7.082 |
6/1/2016 | 7.08 | % | 1,371,192 | ||||||||
EMC CORP/MASS COMMON STOCK USD.01 |
6,885,046 | |||||||||||
EMC CORP/MASS COMMON STOCK USD.01 |
3,862,251 | |||||||||||
EMC CORP/MASS COMMON STOCK USD.01 |
6,682,548 | |||||||||||
EMCOR GROUP INC COMMON STOCK USD.01 |
2,162,655 | |||||||||||
EMERSON ELECTRIC CO SR UNSECURED 12/14 5. |
12/15/2014 | 5.00 | % | 177,248 | ||||||||
EMPRESAS ICA S.A.B COMMON STOCK NPV |
77,286 | |||||||||||
ENCANA HLDINGS FIN CORP COMPANY GUAR 05/14 5.8 |
5/1/2014 | 5.80 | % | 1,819,161 | ||||||||
ENDURANCE SPECIALTY HOLDINGS COMMON STOCK USD1. |
556,576 | |||||||||||
ENERGY TRANSFER PARTNERS SR UNSECURED 07/18 6.7 |
7/1/2018 | 6.70 | % | 2,684,809 | ||||||||
ENERGY TRANSFER PARTNERS SR UNSECURED 07/18 6.7 |
7/1/2018 | 6.70 | % | 488,147 | ||||||||
ENERGY TRANSFER PARTNERS SR UNSECURED 08/12 5.65 |
8/1/2012 | 5.65 | % | 1,333,281 | ||||||||
ENERSYS COMMON STOCK USD.01 |
1,176,441 | |||||||||||
ENI SPA COMMON STOCK EUR1.0 |
1,268,077 | |||||||||||
ENTERPRISE PRODUCTS OPER COMPANY GUAR 01/14 9.75 |
1/31/2014 | 9.75 | % | 5,001,774 | ||||||||
ENTERPRISE PRODUCTS OPER COMPANY GUAR 01/14 9.75 |
1/31/2014 | 9.75 | % | 681,535 | ||||||||
ENTERPRISE PRODUCTS OPER COMPANY GUAR 01/19 6.5 |
1/31/2019 | 6.50 | % | 5,513,836 | ||||||||
ENTERPRISE PRODUCTS OPER COMPANY GUAR 02/16 3.2 |
2/1/2016 | 3.20 | % | 3,701,126 | ||||||||
ENTERPRISE PRODUCTS OPER COMPANY GUAR 02/22 4.05 |
2/15/2022 | 4.05 | % | 845,657 | ||||||||
ENTERPRISE PRODUCTS OPER COMPANY GUAR 02/42 5.7 |
2/15/2042 | 5.70 | % | 2,494,925 | ||||||||
ENTERPRISE PRODUCTS OPER COMPANY GUAR 10/14 5.6 |
10/15/2014 | 5.60 | % | 3,812,921 | ||||||||
EOG RESOURCES INC COMMON STOCK USD.01 |
1,852,973 | |||||||||||
EOS RUSSIA AB NPV |
69,925 | |||||||||||
EPISTAR CORP COMMON STOCK TWD10. |
70,078 | |||||||||||
EQT CORP COMMON STOCK NPV |
1,627,263 | |||||||||||
EQUINIX INC COMMON STOCK USD.001 |
1,109,316 | |||||||||||
EQUINIX INC COMMON STOCK USD.001 |
883,802 | |||||||||||
ERAC USA FINANCE COMPANY COMPANY GUAR 144A 07/13 2.75 |
7/1/2013 | 2.75 | % | 376,242 | ||||||||
ERAC USA FINANCE COMPANY COMPANY GUAR 144A 10/12 5.8 |
10/15/2012 | 5.80 | % | 128,285 | ||||||||
ERP OPER LTD PARTNERSHIP 12/21 FIXED 4.625 |
12/15/2021 | 4.63 | % | 1,728,483 | ||||||||
ERP OPERATING LP SR UNSECURED 04/13 5.2 |
4/1/2013 | 5.20 | % | 217,796 | ||||||||
ESCO TECHNOLOGIES INC COMMON STOCK USD.01 |
1,145,991 | |||||||||||
ESSILOR INTERNATIONAL COMMON STOCK EUR.18 |
2,799,635 | |||||||||||
ESTEE LAUDER COMPANIES CL A COMMON STOCK USD.01 |
5,277,468 | |||||||||||
EUROCASH SA COMMON STOCK PLN1. |
304,187 | |||||||||||
EUROCOMMERCIAL PROPERTIE CV REIT EUR.5 |
247,329 | |||||||||||
EUTELSAT COMMUNICATIONS COMMON STOCK EUR1.0 |
784,820 | |||||||||||
EVS BROADCAST EQUIPMENT S.A. COMMON STOCK NPV |
112,781 |
- 45 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
EXCEL TRUST INC REIT USD.01 |
1,539,492 | |||||||||||
EXEDY CORP COMMON STOCK |
334,853 | |||||||||||
EXELIXIS INC COMMON STOCK USD.001 |
884,380 | |||||||||||
EXELON CORP SR UNSECURED 06/35 5.625 |
6/15/2035 | 5.63 | % | 2,400,495 | ||||||||
EXLSERVICE HOLDINGS INC COMMON STOCK USD.001 |
1,545,991 | |||||||||||
EXPEDITORS INTL WASH INC COMMON STOCK USD.01 |
1,358,152 | |||||||||||
EXPRESS INC COMMON STOCK |
831,498 | |||||||||||
EXPRESS SCRIPTS INC COMMON STOCK USD.01 |
4,650,799 | |||||||||||
EXPRESS SCRIPTS INC COMPANY GUAR 06/12 5.25 |
6/15/2012 | 5.25 | % | 4,484,201 | ||||||||
EXTENDED EQUITY MARKET FUND E |
119,763,730 | |||||||||||
EXTENDED STAY AMERICA TRUST ESA 2010 ESHA A 144A |
11/5/2027 | 2.95 | % | 687,259 | ||||||||
EXTENDED STAY AMERICA TRUST ESA 2010 ESHA A 144A |
11/5/2027 | 2.95 | % | 8,507,282 | ||||||||
EXXON MOBIL CORP COMMON STOCK NPV |
16,930,810 | |||||||||||
EXXON MOBIL CORP COMMON STOCK NPV |
6,187,480 | |||||||||||
F5 NETWORKS INC COMMON STOCK NPV |
1,990,811 | |||||||||||
F5 NETWORKS INC COMMON STOCK NPV |
969,406 | |||||||||||
FACTSET RESEARCH SYSTEMS INC COMMON STOCK USD.01 |
602,494 | |||||||||||
FANNIE DISCOUNT NOTE DISCOUNT NOT 01/12 0.00000 |
1/17/2012 | 0.01 | % | 2,099,983 | ||||||||
FANNIE DISCOUNT NOTE DISCOUNT NOT 01/12 0.00000 |
1/25/2012 | 0.01 | % | 999,988 | ||||||||
FANNIE DISCOUNT NOTE DISCOUNT NOT 02/12 0.00000 |
2/1/2012 | 0.01 | % | 1,999,968 | ||||||||
FANNIE DISCOUNT NOTE DISCOUNT NOT 02/12 0.00000 |
2/6/2012 | 0.01 | % | 26,499,497 | ||||||||
FANNIE MAE 10/41 FIXED 5.0 |
10/25/2041 | 5.00 | % | 7,885,694 | ||||||||
FANNIE MAE 11/16 1.375 |
11/15/2016 | 1.38 | % | 11,031,578 | ||||||||
FANNIE MAE 12/14 0.75 |
12/19/2014 | 0.75 | % | 33,692,657 | ||||||||
FANNIE MAE 12/14 0.75 |
12/19/2014 | 0.75 | % | 3,440,575 | ||||||||
FANNIE MAE BONDS 05/17 5. |
5/11/2017 | 5.00 | % | 7,786,517 | ||||||||
FANNIE MAE BONDS 11/12 4.75 |
11/19/2012 | 4.75 | % | 1,621,979 | ||||||||
FANNIE MAE FNR 2002 11 QC |
3/25/2017 | 5.50 | % | 203,508 | ||||||||
FANNIE MAE FNR 2011 52 GB |
6/25/2041 | 5.00 | % | 5,615,075 | ||||||||
FANNIE MAE FNR 2011 59 NZ |
7/25/2041 | 5.50 | % | 2,362,436 | ||||||||
FANNIE MAE NOTES 01/13 3.55 |
1/28/2013 | 3.55 | % | 2,972,287 | ||||||||
FANNIE MAE NOTES 02/14 1.25 |
2/27/2014 | 1.25 | % | 13,695,183 | ||||||||
FANNIE MAE NOTES 03/14 2.75 |
3/13/2014 | 2.75 | % | 10,478,660 | ||||||||
FANNIE MAE NOTES 03/16 2.25 |
3/15/2016 | 2.25 | % | 8,385,680 | ||||||||
FANNIE MAE NOTES 03/16 5. |
3/15/2016 | 5.00 | % | 774,940 | ||||||||
FANNIE MAE NOTES 04/13 4. |
4/8/2013 | 4.00 | % | 4,030,322 | ||||||||
FANNIE MAE NOTES 04/15 5. |
4/15/2015 | 5.00 | % | 10,234,539 | ||||||||
FANNIE MAE NOTES 04/16 2.375 |
4/11/2016 | 2.38 | % | 8,822,218 | ||||||||
FANNIE MAE NOTES 06/17 5.375 |
6/12/2017 | 5.38 | % | 2,712,467 | ||||||||
FANNIE MAE NOTES 07/13 3.875 |
7/12/2013 | 3.88 | % | 147,639 | ||||||||
FANNIE MAE NOTES 07/15 2.375 |
7/28/2015 | 2.38 | % | 2,110,142 | ||||||||
FANNIE MAE NOTES 09/16 1.25 |
9/28/2016 | 1.25 | % | 4,518,261 | ||||||||
FANNIE MAE NOTES 10/13 1.125 |
10/8/2013 | 1.13 | % | 724,294 | ||||||||
FANNIE MAE NOTES 10/13 4.625 |
10/15/2013 | 4.63 | % | 2,118,528 | ||||||||
FANNIE MAE NOTES 10/13 4.625 |
10/15/2013 | 4.63 | % | 4,210,171 | ||||||||
FANNIE MAE NOTES 10/15 4.375 |
10/15/2015 | 4.38 | % | 762,743 | ||||||||
FANNIE MAE NOTES 10/15 4.375 |
10/15/2015 | 4.38 | % | 1,209,088 | ||||||||
FANNIE MAE NOTES 12/13 0.75 |
12/18/2013 | 0.75 | % | 16,683,455 | ||||||||
FANNIE MAE SUB DEBENTUR 10/19 0.00000 |
10/9/2019 | 0.01 | % | 2,952,442 | ||||||||
FANNIE MAE SUB DEBENTUR 10/19 0.00000 |
10/9/2019 | 0.01 | % | 4,993,778 | ||||||||
FANNIE MAE SUB NOTES 01/14 5.125 |
1/2/2014 | 5.13 | % | 14,224,502 |
- 46 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FANNIEMAE ACES FNA 2011 M2 A1 |
7/25/2021 | 2.02 | % | 1,026,915 | ||||||||
FANNIEMAE GRANTOR TRUST FNGT 2011 T2 A1 |
8/25/2051 | 2.50 | % | 1,033,485 | ||||||||
FANUC CORP COMMON STOCK |
2,145,326 | |||||||||||
FARMER MAC DISCOUNT NOTE DISCOUNT NOT 01/12 0.00000 |
1/4/2012 | 0.01 | % | 799,999 | ||||||||
FARMER MAC GTD TR 07 1 SECURED 144A 04/17 5.125 |
4/19/2017 | 5.13 | % | 8,412,109 | ||||||||
FDIC STRUCTURED SALE GUARANTEE SSGN 2010 S1 1A 144A |
2/25/2048 | 0.82 | % | 4,757,453 | ||||||||
FED HM LN PC POOL 1B1580 |
3/1/2034 | 2.69 | % | 553,751 | ||||||||
FED HM LN PC POOL 1G1381 |
12/1/2036 | 4.55 | % | 218,273 | ||||||||
FED HM LN PC POOL 1G2201 |
9/1/2037 | 5.98 | % | 40,638 | ||||||||
FED HM LN PC POOL 1G2511 |
5/1/2036 | 2.72 | % | 1,384,413 | ||||||||
FED HM LN PC POOL 1J1467 |
12/1/2036 | 2.51 | % | 441,074 | ||||||||
FED HM LN PC POOL 1J1492 |
11/1/2036 | 2.57 | % | 377,668 | ||||||||
FED HM LN PC POOL 360077 |
8/1/2019 | 9.00 | % | 1,113 | ||||||||
FED HM LN PC POOL 410792 |
2/1/2030 | 2.50 | % | 52,969 | ||||||||
FED HM LN PC POOL 538275 |
12/1/2019 | 9.00 | % | 1,983 | ||||||||
FED HM LN PC POOL 540880 |
10/1/2019 | 9.00 | % | 6,957 | ||||||||
FED HM LN PC POOL 547356 |
3/1/2020 | 9.00 | % | 244 | ||||||||
FED HM LN PC POOL 549820 |
9/1/2020 | 9.00 | % | 4,752 | ||||||||
FED HM LN PC POOL 555152 555152 |
7/1/2020 | 9.00 | % | 370 | ||||||||
FED HM LN PC POOL 555248 |
1/1/2020 | 8.50 | % | 9,841 | ||||||||
FED HM LN PC POOL 555294 |
10/1/2017 | 9.00 | % | 1,711 | ||||||||
FED HM LN PC POOL 555330 |
10/1/2019 | 10.00 | % | 14,811 | ||||||||
FED HM LN PC POOL 846004 |
12/1/2024 | 2.58 | % | 24,384 | ||||||||
FED HM LN PC POOL 846313 |
2/1/2026 | 2.43 | % | 2,065 | ||||||||
FED HM LN PC POOL 846661 |
2/1/2029 | 2.35 | % | 3,509 | ||||||||
FED HM LN PC POOL 847153 |
5/1/2033 | 2.50 | % | 563,757 | ||||||||
FED HM LN PC POOL A00936 |
1/1/2019 | 9.00 | % | 484 | ||||||||
FED HM LN PC POOL A01672 |
9/1/2019 | 9.50 | % | 8,253 | ||||||||
FED HM LN PC POOL A01770 |
6/1/2019 | 9.75 | % | 519 | ||||||||
FED HM LN PC POOL A14551 |
7/1/2033 | 6.00 | % | 156,726 | ||||||||
FED HM LN PC POOL A34551 |
4/1/2035 | 4.50 | % | 86,646 | ||||||||
FED HM LN PC POOL A39803 |
11/1/2035 | 5.50 | % | 2,585,524 | ||||||||
FED HM LN PC POOL A39803 |
11/1/2035 | 5.50 | % | 355,564 | ||||||||
FED HM LN PC POOL A47038 |
9/1/2035 | 5.00 | % | 1,462,917 | ||||||||
FED HM LN PC POOL A63809 |
8/1/2037 | 6.00 | % | 749,692 | ||||||||
FED HM LN PC POOL A69654 |
12/1/2037 | 6.00 | % | 362,805 | ||||||||
FED HM LN PC POOL A85726 |
4/1/2039 | 5.00 | % | 1,439,704 | ||||||||
FED HM LN PC POOL A87307 |
7/1/2039 | 4.50 | % | 129,012 | ||||||||
FED HM LN PC POOL A88872 |
10/1/2033 | 4.50 | % | 90,699 | ||||||||
FED HM LN PC POOL A90222 |
12/1/2039 | 4.50 | % | 7,386,253 | ||||||||
FED HM LN PC POOL A90826 |
1/1/2040 | 4.50 | % | 1,608,961 | ||||||||
FED HM LN PC POOL A91235 |
2/1/2040 | 4.50 | % | 1,970,249 | ||||||||
FED HM LN PC POOL A93318 |
8/1/2040 | 5.00 | % | 3,571,568 | ||||||||
FED HM LN PC POOL A93625 |
8/1/2040 | 5.00 | % | 2,193,741 | ||||||||
FED HM LN PC POOL A93652 |
9/1/2040 | 5.00 | % | 664,280 | ||||||||
FED HM LN PC POOL A93713 |
9/1/2040 | 5.00 | % | 2,030,315 | ||||||||
FED HM LN PC POOL A94069 |
9/1/2040 | 5.00 | % | 1,899,986 | ||||||||
FED HM LN PC POOL A94113 |
10/1/2040 | 5.00 | % | 1,911,748 | ||||||||
FED HM LN PC POOL A94132 |
9/1/2040 | 5.00 | % | 78,666 | ||||||||
FED HM LN PC POOL A94898 |
11/1/2040 | 4.50 | % | 1,477,057 | ||||||||
FED HM LN PC POOL A95519 |
12/1/2040 | 4.50 | % | 945,503 |
- 47 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FED HM LN PC POOL A97479 |
3/1/2041 | 4.50 | % | 282,957 | ||||||||
FED HM LN PC POOL A97673 |
3/1/2041 | 4.50 | % | 95,778 | ||||||||
FED HM LN PC POOL C00098 |
2/1/2022 | 8.00 | % | 19,438 | ||||||||
FED HM LN PC POOL C00371 |
9/1/2024 | 7.00 | % | 2,988 | ||||||||
FED HM LN PC POOL C00516 |
5/1/2027 | 8.00 | % | 19,533 | ||||||||
FED HM LN PC POOL C00522 |
5/1/2027 | 7.00 | % | 25,049 | ||||||||
FED HM LN PC POOL C00632 |
7/1/2028 | 7.00 | % | 26,810 | ||||||||
FED HM LN PC POOL C00636 |
7/1/2028 | 7.50 | % | 18,653 | ||||||||
FED HM LN PC POOL C00636 |
7/1/2028 | 7.50 | % | 24,302 | ||||||||
FED HM LN PC POOL C00636 |
7/1/2028 | 7.50 | % | 30,023 | ||||||||
FED HM LN PC POOL C00650 |
9/1/2028 | 7.00 | % | 15,788 | ||||||||
FED HM LN PC POOL C00984 |
5/1/2030 | 8.00 | % | 5,033 | ||||||||
FED HM LN PC POOL C00987 |
5/1/2030 | 7.50 | % | 5,532 | ||||||||
FED HM LN PC POOL C01116 |
1/1/2031 | 7.50 | % | 121,765 | ||||||||
FED HM LN PC POOL C03478 |
6/1/2040 | 4.50 | % | 256,906 | ||||||||
FED HM LN PC POOL C03517 |
9/1/2040 | 4.50 | % | 1,808,953 | ||||||||
FED HM LN PC POOL C03545 |
8/1/2040 | 5.00 | % | 2,617,818 | ||||||||
FED HM LN PC POOL C03701 |
9/1/2041 | 4.50 | % | 2,609,201 | ||||||||
FED HM LN PC POOL C10542 |
6/1/2028 | 7.00 | % | 14,388 | ||||||||
FED HM LN PC POOL C12274 |
7/1/2028 | 6.00 | % | 1,087 | ||||||||
FED HM LN PC POOL C12585 |
7/1/2028 | 7.00 | % | 2,968 | ||||||||
FED HM LN PC POOL C14084 |
8/1/2028 | 7.00 | % | 34,896 | ||||||||
FED HM LN PC POOL C22347 |
2/1/2029 | 6.00 | % | 57,888 | ||||||||
FED HM LN PC POOL C38551 |
5/1/2030 | 7.00 | % | 3,339 | ||||||||
FED HM LN PC POOL C80373 |
1/1/2026 | 7.50 | % | 1,293 | ||||||||
FED HM LN PC POOL C80379 |
2/1/2026 | 7.00 | % | 35,205 | ||||||||
FED HM LN PC POOL C80407 |
6/1/2026 | 7.00 | % | 4,357 | ||||||||
FED HM LN PC POOL C90148 |
9/1/2016 | 7.50 | % | 6,884 | ||||||||
FED HM LN PC POOL C91028 |
2/1/2027 | 5.00 | % | 155,247 | ||||||||
FED HM LN PC POOL C91161 |
2/1/2028 | 5.00 | % | 208,045 | ||||||||
FED HM LN PC POOL D52246 |
4/1/2024 | 7.00 | % | 3,988 | ||||||||
FED HM LN PC POOL D56754 |
10/1/2024 | 7.00 | % | 11,793 | ||||||||
FED HM LN PC POOL D64290 |
10/1/2025 | 7.00 | % | 21,058 | ||||||||
FED HM LN PC POOL D64990 |
3/1/2025 | 8.50 | % | 5,499 | ||||||||
FED HM LN PC POOL D67104 |
1/1/2026 | 7.50 | % | 101,880 | ||||||||
FED HM LN PC POOL D70703 |
4/1/2026 | 7.00 | % | 41,101 | ||||||||
FED HM LN PC POOL D71569 |
5/1/2026 | 7.50 | % | 807 | ||||||||
FED HM LN PC POOL D74278 |
8/1/2026 | 8.00 | % | 1,544 | ||||||||
FED HM LN PC POOL D75342 |
10/1/2026 | 8.00 | % | 2,952 | ||||||||
FED HM LN PC POOL D75558 |
10/1/2026 | 8.00 | % | 1,548 | ||||||||
FED HM LN PC POOL D75787 |
11/1/2026 | 8.00 | % | 8,572 | ||||||||
FED HM LN PC POOL D77162 |
1/1/2027 | 7.50 | % | 8,088 | ||||||||
FED HM LN PC POOL D77163 |
1/1/2027 | 7.50 | % | 7,779 | ||||||||
FED HM LN PC POOL D77260 |
1/1/2027 | 7.50 | % | 6,387 | ||||||||
FED HM LN PC POOL D77475 |
1/1/2027 | 7.00 | % | 42,255 | ||||||||
FED HM LN PC POOL D77487 |
1/1/2027 | 7.50 | % | 2,687 | ||||||||
FED HM LN PC POOL D77490 |
1/1/2027 | 7.50 | % | 1,055 | ||||||||
FED HM LN PC POOL D77541 |
1/1/2027 | 7.50 | % | 11,510 | ||||||||
FED HM LN PC POOL D77554 |
1/1/2027 | 7.50 | % | 18,639 | ||||||||
FED HM LN PC POOL D77609 |
1/1/2027 | 7.50 | % | 4,192 | ||||||||
FED HM LN PC POOL D77609 |
1/1/2027 | 7.50 | % | 8,983 |
- 48 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value |
|||||||||
FED HM LN PC POOL D77687 |
2/1/2027 | 7.50 | % | 105,563 | ||||||||
FED HM LN PC POOL D80165 |
5/1/2027 | 7.00 | % | 25,369 | ||||||||
FED HM LN PC POOL D80177 |
5/1/2027 | 7.00 | % | 28,926 | ||||||||
FED HM LN PC POOL D91280 |
4/1/2016 | 7.50 | % | 22,325 | ||||||||
FED HM LN PC POOL D93618 |
7/1/2019 | 6.50 | % | 20,895 | ||||||||
FED HM LN PC POOL D93618 |
7/1/2019 | 6.50 | % | 40,446 | ||||||||
FED HM LN PC POOL E00466 |
1/1/2012 | 7.00 | % | 118 | ||||||||
FED HM LN PC POOL E00466 |
1/1/2012 | 7.00 | % | 16 | ||||||||
FED HM LN PC POOL E00471 |
1/1/2012 | 6.00 | % | 211 | ||||||||
FED HM LN PC POOL E00472 |
2/1/2012 | 6.00 | % | 488 | ||||||||
FED HM LN PC POOL E00472 |
2/1/2012 | 6.00 | % | 768 | ||||||||
FED HM LN PC POOL E00474 |
2/1/2012 | 7.00 | % | 1,843 | ||||||||
FED HM LN PC POOL E00532 |
2/1/2013 | 6.50 | % | 4,259 | ||||||||
FED HM LN PC POOL E00548 |
5/1/2013 | 6.50 | % | 1,734 | ||||||||
FED HM LN PC POOL E00592 |
12/1/2013 | 6.00 | % | 355,016 | ||||||||
FED HM LN PC POOL E00619 |
1/1/2014 | 6.50 | % | 2,627 | ||||||||
FED HM LN PC POOL E00626 |
2/1/2014 | 6.50 | % | 5,841 | ||||||||
FED HM LN PC POOL E00634 |
3/1/2014 | 6.00 | % | 48,659 | ||||||||
FED HM LN PC POOL E00659 |
4/1/2014 | 6.00 | % | 8,614 | ||||||||
FED HM LN PC POOL E00956 |
3/1/2016 | 6.00 | % | 3,602 | ||||||||
FED HM LN PC POOL E01007 |
8/1/2016 | 6.00 | % | 2,125 | ||||||||
FED HM LN PC POOL E01095 |
1/1/2017 | 6.00 | % | 878 | ||||||||
FED HM LN PC POOL E01495 |
9/1/2018 | 6.00 | % | 16,032 | ||||||||
FED HM LN PC POOL E66056 |
1/1/2012 | 7.00 | % | 193 | ||||||||
FED HM LN PC POOL E66215 |
2/1/2012 | 6.00 | % | 1,667 | ||||||||
FED HM LN PC POOL E66274 |
2/1/2012 | 7.00 | % | 7 | ||||||||
FED HM LN PC POOL E66342 |
2/1/2012 | 6.00 | % | 643 | ||||||||
FED HM LN PC POOL E66699 |
4/1/2012 | 6.50 | % | 251 | ||||||||
FED HM LN PC POOL E67289 |
7/1/2012 | 7.00 | % | 1,831 | ||||||||
FED HM LN PC POOL E67531 |
8/1/2012 | 6.50 | % | 464 | ||||||||
FED HM LN PC POOL E69231 |
3/1/2013 | 6.00 | % | 117 | ||||||||
FED HM LN PC POOL E69288 |
3/1/2013 | 6.00 | % | 2,362 | ||||||||
FED HM LN PC POOL E70229 |
5/1/2013 | 6.00 | % | 229 | ||||||||
FED HM LN PC POOL E70615 |
6/1/2013 | 6.00 | % | 266 | ||||||||
FED HM LN PC POOL E71793 |
8/1/2013 | 6.00 | % | 397 | ||||||||
FED HM LN PC POOL E72223 |
9/1/2013 | 6.00 | % | 109 | ||||||||
FED HM LN PC POOL E72994 |
11/1/2013 | 6.00 | % | 2,884 | ||||||||
FED HM LN PC POOL E73145 |
11/1/2013 | 6.00 | % | 842 | ||||||||
FED HM LN PC POOL E73338 |
12/1/2013 | 6.00 | % | 22,377 | ||||||||
FED HM LN PC POOL E73717 |
12/1/2013 | 6.00 | % | 1,569 | ||||||||
FED HM LN PC POOL E73765 |
12/1/2013 | 6.00 | % | 904 | ||||||||
FED HM LN PC POOL E73939 |
1/1/2014 | 6.00 | % | 1,790 | ||||||||
FED HM LN PC POOL E75480 |
3/1/2014 | 6.00 | % | 16,412 | ||||||||
FED HM LN PC POOL E75507 |
3/1/2014 | 6.00 | % | 15,799 | ||||||||
FED HM LN PC POOL E75521 |
3/1/2014 | 6.00 | % | 21,426 | ||||||||
FED HM LN PC POOL E75521 |
3/1/2014 | 6.00 | % | 32,286 | ||||||||
FED HM LN PC POOL E75946 |
4/1/2014 | 6.00 | % | 103,917 | ||||||||
FED HM LN PC POOL E77556 |
6/1/2014 | 6.00 | % | 23,066 | ||||||||
FED HM LN PC POOL E77592 |
7/1/2014 | 6.00 | % | 801 | ||||||||
FED HM LN PC POOL E83637 |
5/1/2016 | 6.00 | % | 10,458 | ||||||||
FED HM LN PC POOL E83638 |
5/1/2016 | 6.00 | % | 1,156 |
- 49 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value |
|||||||||
FED HM LN PC POOL E83641 |
5/1/2016 | 6.00 | % | 2,130 | ||||||||
FED HM LN PC POOL E83651 |
5/1/2016 | 6.00 | % | 8,292 | ||||||||
FED HM LN PC POOL E84225 |
6/1/2016 | 6.00 | % | 51,744 | ||||||||
FED HM LN PC POOL E84260 |
7/1/2016 | 6.00 | % | 59,652 | ||||||||
FED HM LN PC POOL E84467 |
7/1/2016 | 6.00 | % | 584 | ||||||||
FED HM LN PC POOL E84885 |
8/1/2016 | 6.00 | % | 4,047 | ||||||||
FED HM LN PC POOL E85131 |
9/1/2016 | 6.00 | % | 1,102 | ||||||||
FED HM LN PC POOL E85346 |
9/1/2016 | 6.00 | % | 10,521 | ||||||||
FED HM LN PC POOL E86208 |
11/1/2016 | 6.00 | % | 6,808 | ||||||||
FED HM LN PC POOL E87156 |
1/1/2017 | 6.00 | % | 18,726 | ||||||||
FED HM LN PC POOL E87634 |
1/1/2017 | 6.00 | % | 94,386 | ||||||||
FED HM LN PC POOL E87908 |
2/1/2017 | 6.00 | % | 11,871 | ||||||||
FED HM LN PC POOL E87940 |
2/1/2017 | 6.00 | % | 1,553 | ||||||||
FED HM LN PC POOL E88001 |
2/1/2017 | 6.00 | % | 707,466 | ||||||||
FED HM LN PC POOL E88056 |
2/1/2017 | 6.00 | % | 5,039 | ||||||||
FED HM LN PC POOL E88063 |
2/1/2017 | 6.00 | % | 31,403 | ||||||||
FED HM LN PC POOL E88123 |
2/1/2017 | 6.00 | % | 23,661 | ||||||||
FED HM LN PC POOL E88197 |
2/1/2017 | 6.00 | % | 1,209 | ||||||||
FED HM LN PC POOL E88282 |
3/1/2017 | 6.00 | % | 35,761 | ||||||||
FED HM LN PC POOL E88283 |
3/1/2017 | 6.00 | % | 1,359 | ||||||||
FED HM LN PC POOL E88410 |
3/1/2017 | 6.00 | % | 2,308 | ||||||||
FED HM LN PC POOL E88474 |
3/1/2017 | 6.00 | % | 14,627 | ||||||||
FED HM LN PC POOL E88603 |
4/1/2017 | 6.00 | % | 12,070 | ||||||||
FED HM LN PC POOL E88729 |
4/1/2017 | 6.00 | % | 23,277 | ||||||||
FED HM LN PC POOL E88749 |
3/1/2017 | 6.00 | % | 11,527 | ||||||||
FED HM LN PC POOL E88750 |
3/1/2017 | 6.00 | % | 5,089 | ||||||||
FED HM LN PC POOL E88765 |
3/1/2017 | 6.00 | % | 11,562 | ||||||||
FED HM LN PC POOL E88776 |
3/1/2017 | 6.00 | % | 5,326 | ||||||||
FED HM LN PC POOL E88791 |
3/1/2017 | 6.00 | % | 12,470 | ||||||||
FED HM LN PC POOL E88809 |
4/1/2017 | 6.00 | % | 32,339 | ||||||||
FED HM LN PC POOL E88884 |
4/1/2017 | 6.00 | % | 23,275 | ||||||||
FED HM LN PC POOL E89041 |
4/1/2017 | 6.00 | % | 2,030 | ||||||||
FED HM LN PC POOL E89080 |
4/1/2017 | 6.00 | % | 26,777 | ||||||||
FED HM LN PC POOL E89092 |
4/1/2017 | 6.00 | % | 4,358 | ||||||||
FED HM LN PC POOL E89102 |
4/1/2017 | 6.00 | % | 23,926 | ||||||||
FED HM LN PC POOL E89118 |
4/1/2017 | 6.00 | % | 34,702 | ||||||||
FED HM LN PC POOL E89149 |
4/1/2017 | 6.00 | % | 20,816 | ||||||||
FED HM LN PC POOL E89216 |
4/1/2017 | 6.00 | % | 33,355 | ||||||||
FED HM LN PC POOL E89294 |
4/1/2017 | 6.00 | % | 60,475 | ||||||||
FED HM LN PC POOL E89347 |
4/1/2017 | 6.00 | % | 39,811 | ||||||||
FED HM LN PC POOL E89369 |
4/1/2017 | 6.00 | % | 15,598 | ||||||||
FED HM LN PC POOL E89434 |
5/1/2017 | 6.00 | % | 21,056 | ||||||||
FED HM LN PC POOL E89435 |
5/1/2017 | 6.00 | % | 21,126 | ||||||||
FED HM LN PC POOL E89593 |
5/1/2017 | 6.00 | % | 33,551 | ||||||||
FED HM LN PC POOL E89601 |
5/1/2017 | 6.00 | % | 727 | ||||||||
FED HM LN PC POOL E89645 |
5/1/2017 | 6.00 | % | 30,784 | ||||||||
FED HM LN PC POOL E89686 |
5/1/2017 | 6.00 | % | 23,915 | ||||||||
FED HM LN PC POOL E89687 |
5/1/2017 | 6.00 | % | 15,085 | ||||||||
FED HM LN PC POOL E89696 |
5/1/2017 | 6.00 | % | 5,409 | ||||||||
FED HM LN PC POOL E89704 |
5/1/2017 | 6.00 | % | 6,161 | ||||||||
FED HM LN PC POOL E89707 |
5/1/2017 | 6.00 | % | 18,995 |
- 50 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FED HM LN PC POOL E89746 |
5/1/2017 | 6.00 | % | 1,133 | ||||||||
FED HM LN PC POOL E89777 |
5/1/2017 | 6.00 | % | 10,736 | ||||||||
FED HM LN PC POOL E89856 |
5/1/2017 | 6.00 | % | 13,117 | ||||||||
FED HM LN PC POOL E89883 |
5/1/2017 | 6.00 | % | 17,819 | ||||||||
FED HM LN PC POOL E89913 |
5/1/2017 | 6.00 | % | 40,671 | ||||||||
FED HM LN PC POOL E89969 |
5/1/2017 | 6.00 | % | 15,385 | ||||||||
FED HM LN PC POOL E90103 |
5/1/2017 | 6.00 | % | 15,008 | ||||||||
FED HM LN PC POOL E90135 |
6/1/2017 | 6.00 | % | 4,458 | ||||||||
FED HM LN PC POOL E90171 |
6/1/2017 | 6.00 | % | 32,204 | ||||||||
FED HM LN PC POOL E90237 |
6/1/2017 | 6.00 | % | 27,491 | ||||||||
FED HM LN PC POOL E90295 |
6/1/2017 | 6.00 | % | 9,524 | ||||||||
FED HM LN PC POOL E90313 |
6/1/2017 | 6.00 | % | 1,276 | ||||||||
FED HM LN PC POOL E90315 |
7/1/2017 | 6.00 | % | 23,469 | ||||||||
FED HM LN PC POOL E90322 |
6/1/2017 | 6.00 | % | 15,260 | ||||||||
FED HM LN PC POOL E90348 |
6/1/2017 | 6.00 | % | 21,417 | ||||||||
FED HM LN PC POOL E90402 |
7/1/2017 | 6.00 | % | 28,866 | ||||||||
FED HM LN PC POOL E90472 |
7/1/2017 | 6.00 | % | 28,822 | ||||||||
FED HM LN PC POOL E90473 |
7/1/2017 | 6.00 | % | 42,216 | ||||||||
FED HM LN PC POOL E90551 |
7/1/2017 | 6.00 | % | 14,601 | ||||||||
FED HM LN PC POOL E90623 |
8/1/2017 | 6.00 | % | 1,007 | ||||||||
FED HM LN PC POOL E90689 |
8/1/2017 | 6.00 | % | 1,166 | ||||||||
FED HM LN PC POOL E90690 |
7/1/2017 | 6.00 | % | 943 | ||||||||
FED HM LN PC POOL E90781 |
8/1/2017 | 6.00 | % | 24,394 | ||||||||
FED HM LN PC POOL E90831 |
8/1/2017 | 6.00 | % | 1,531 | ||||||||
FED HM LN PC POOL E90985 |
8/1/2017 | 6.00 | % | 663 | ||||||||
FED HM LN PC POOL E91012 |
8/1/2017 | 6.00 | % | 39,684 | ||||||||
FED HM LN PC POOL E91278 |
7/1/2017 | 6.00 | % | 1,093 | ||||||||
FED HM LN PC POOL E91485 |
9/1/2017 | 6.00 | % | 35,108 | ||||||||
FED HM LN PC POOL E91879 |
10/1/2017 | 6.00 | % | 4,565 | ||||||||
FED HM LN PC POOL E93128 |
10/1/2017 | 6.00 | % | 32,856 | ||||||||
FED HM LN PC POOL E99733 |
9/1/2018 | 6.00 | % | 49,443 | ||||||||
FED HM LN PC POOL G00144 |
3/1/2021 | 10.00 | % | 13,518 | ||||||||
FED HM LN PC POOL G00280 |
12/1/2022 | 9.50 | % | 5,068 | ||||||||
FED HM LN PC POOL G00473 |
3/1/2026 | 7.50 | % | 586 | ||||||||
FED HM LN PC POOL G00529 |
8/1/2026 | 7.50 | % | 8,356 | ||||||||
FED HM LN PC POOL G00552 |
3/1/2023 | 8.50 | % | 28,000 | ||||||||
FED HM LN PC POOL G00561 |
6/1/2025 | 9.50 | % | 40,552 | ||||||||
FED HM LN PC POOL G00627 |
6/1/2025 | 8.00 | % | 29,104 | ||||||||
FED HM LN PC POOL G00675 |
3/1/2027 | 7.50 | % | 30,788 | ||||||||
FED HM LN PC POOL G00704 |
12/1/2026 | 7.00 | % | 33,709 | ||||||||
FED HM LN PC POOL G00825 |
12/1/2027 | 7.00 | % | 2,097 | ||||||||
FED HM LN PC POOL G00869 |
1/1/2028 | 7.50 | % | 47,665 | ||||||||
FED HM LN PC POOL G01091 |
12/1/2029 | 7.00 | % | 95,763 | ||||||||
FED HM LN PC POOL G02031 |
2/1/2036 | 5.50 | % | 1,462,730 | ||||||||
FED HM LN PC POOL G02408 |
12/1/2036 | 5.50 | % | 2,443,974 | ||||||||
FED HM LN PC POOL G02427 |
12/1/2036 | 5.50 | % | 4,035,906 | ||||||||
FED HM LN PC POOL G03358 |
8/1/2037 | 5.50 | % | 50,162 | ||||||||
FED HM LN PC POOL G03628 |
12/1/2037 | 5.50 | % | 2,012,396 | ||||||||
FED HM LN PC POOL G03695 |
11/1/2037 | 5.50 | % | 1,454,570 | ||||||||
FED HM LN PC POOL G03812 |
2/1/2038 | 5.50 | % | 2,039,134 | ||||||||
FED HM LN PC POOL G04448 |
7/1/2038 | 5.50 | % | 861,135 |
- 51 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FED HM LN PC POOL G04585 |
2/1/2038 | 5.50 | % | 1,436,045 | ||||||||
FED HM LN PC POOL G04588 |
8/1/2038 | 5.50 | % | 804,324 | ||||||||
FED HM LN PC POOL G04636 |
12/1/2035 | 5.00 | % | 249,818 | ||||||||
FED HM LN PC POOL G04688 |
9/1/2038 | 5.50 | % | 754,646 | ||||||||
FED HM LN PC POOL G04913 |
3/1/2038 | 5.00 | % | 7,834,742 | ||||||||
FED HM LN PC POOL G05132 |
12/1/2038 | 5.00 | % | 25,397,854 | ||||||||
FED HM LN PC POOL G05179 |
1/1/2039 | 5.50 | % | 802,778 | ||||||||
FED HM LN PC POOL G05205 |
1/1/2039 | 5.00 | % | 3,818,630 | ||||||||
FED HM LN PC POOL G05527 |
7/1/2039 | 4.00 | % | 393,614 | ||||||||
FED HM LN PC POOL G05645 |
10/1/2039 | 4.50 | % | 91,523 | ||||||||
FED HM LN PC POOL G05676 |
11/1/2039 | 4.00 | % | 3,530,199 | ||||||||
FED HM LN PC POOL G05726 |
8/1/2039 | 5.00 | % | 1,608,707 | ||||||||
FED HM LN PC POOL G05741 |
12/1/2039 | 4.50 | % | 3,106,897 | ||||||||
FED HM LN PC POOL G05927 |
7/1/2040 | 4.50 | % | 3,810,297 | ||||||||
FED HM LN PC POOL G06021 |
1/1/2040 | 5.50 | % | 2,170,633 | ||||||||
FED HM LN PC POOL G06087 |
9/1/2040 | 5.00 | % | 530,224 | ||||||||
FED HM LN PC POOL G06172 |
12/1/2038 | 5.50 | % | 5,087,730 | ||||||||
FED HM LN PC POOL G06506 |
12/1/2040 | 4.00 | % | 7,147,500 | ||||||||
FED HM LN PC POOL G06507 |
2/1/2041 | 4.00 | % | 1,097,637 | ||||||||
FED HM LN PC POOL G06601 |
12/1/2040 | 4.50 | % | 6,897,192 | ||||||||
FED HM LN PC POOL G06669 |
9/1/2039 | 6.50 | % | 1,560,539 | ||||||||
FED HM LN PC POOL G06817 |
5/1/2040 | 5.50 | % | 24,227,688 | ||||||||
FED HM LN PC POOL G08273 |
6/1/2038 | 5.50 | % | 420,426 | ||||||||
FED HM LN PC POOL G08330 |
1/1/2039 | 4.50 | % | 123,410 | ||||||||
FED HM LN PC POOL G08368 |
10/1/2039 | 4.50 | % | 5,931,686 | ||||||||
FED HM LN PC POOL G08368 |
10/1/2039 | 4.50 | % | 2,828,401 | ||||||||
FED HM LN PC POOL G08372 |
11/1/2039 | 4.50 | % | 8,982,130 | ||||||||
FED HM LN PC POOL G08372 |
11/1/2039 | 4.50 | % | 3,107,300 | ||||||||
FED HM LN PC POOL G08447 |
5/1/2041 | 4.50 | % | 11,104,915 | ||||||||
FED HM LN PC POOL G08464 |
10/1/2041 | 4.50 | % | 45,578 | ||||||||
FED HM LN PC POOL G10834 |
9/1/2013 | 6.00 | % | 23,739 | ||||||||
FED HM LN PC POOL G10907 |
5/1/2014 | 6.00 | % | 1,350 | ||||||||
FED HM LN PC POOL G11300 |
8/1/2017 | 6.00 | % | 2,275 | ||||||||
FED HM LN PC POOL G11410 |
7/1/2018 | 4.00 | % | 5,392,506 | ||||||||
FED HM LN PC POOL G11557 G1 1557 |
3/1/2019 | 6.00 | % | 4,024 | ||||||||
FED HM LN PC POOL G11634 |
11/1/2019 | 5.50 | % | 39,193 | ||||||||
FED HM LN PC POOL G11652 |
1/1/2020 | 6.00 | % | 1,491,841 | ||||||||
FED HM LN PC POOL G12467 |
11/1/2021 | 6.00 | % | 1,413,715 | ||||||||
FED HM LN PC POOL G13300 |
5/1/2023 | 4.50 | % | 632,651 | ||||||||
FED HM LN PC POOL G13492 |
2/1/2024 | 5.00 | % | 1,360,632 | ||||||||
FED HM LN PC POOL G13868 |
7/1/2025 | 4.50 | % | 2,188,192 | ||||||||
FED HM LN PC POOL G14239 |
9/1/2026 | 4.00 | % | 936,099 | ||||||||
FED HM LN PC POOL G18401 |
9/1/2026 | 3.50 | % | 1,019,305 | ||||||||
FED HM LN PC POOL G20028 10/39 FIXED 7.5 |
12/1/2036 | 7.50 | % | 3,688,310 | ||||||||
FED HM LN PC POOL J09212 |
1/1/2024 | 5.00 | % | 692,410 | ||||||||
FED HM LN PC POOL J11089 |
4/1/2019 | 4.00 | % | 540,841 | ||||||||
FED HM LN PC POOL J12398 |
6/1/2025 | 4.50 | % | 2,152,621 | ||||||||
FED HM LN PC POOL J12439 |
6/1/2025 | 4.50 | % | 2,195,600 | ||||||||
FED HM LN PC POOL J15658 |
6/1/2026 | 4.00 | % | 1,533,353 | ||||||||
FED HM LN PC POOL J15719 |
6/1/2026 | 4.00 | % | 3,031,250 | ||||||||
FED HM LN PC POOL J16059 |
7/1/2026 | 4.00 | % | 510,259 |
- 52 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FED HM LN PC POOL Q00543 |
5/1/2041 | 4.50 | % | 8,867,528 | ||||||||
FED HM LN PC POOL Q00575 |
5/1/2041 | 4.50 | % | 395,551 | ||||||||
FED HOME LN DISCOUNT NT DISCOUNT NOT 01/12 0.00000 |
1/25/2012 | 0.01 | % | 1,599,981 | ||||||||
FED HOME LN DISCOUNT NT DISCOUNT NOT 02/12 0.00000 |
2/15/2012 | 0.00 | % | 39,999,040 | ||||||||
FED HOME LN DISCOUNT NT DISCOUNT NOT 02/12 0.00000 |
2/17/2012 | 0.01 | % | 9,576,761 | ||||||||
FED NAT MTG |
5/15/2031 | 6.50 | % | 1,704,216 | ||||||||
FED NATL MTG ASSN GTD REMIC 2003 92 REMIC TR CL PE |
9/25/2018 | 4.50 | % | 1,141,062 | ||||||||
FEDERAL FARM CREDIT BANK BONDS 06/13 1.375 |
6/25/2013 | 1.38 | % | 9,126,536 | ||||||||
FEDERAL FARM CREDIT BANK BONDS 12/12 1.875 |
12/7/2012 | 1.88 | % | 5,074,650 | ||||||||
FEDERAL FARM CREDIT BANK BONDS 12/12 1.875 |
12/7/2012 | 1.88 | % | 3,958,227 | ||||||||
FEDERAL HOME LN MTG CORP |
1/15/2023 | 5.00 | % | 513,749 | ||||||||
FEDERAL HOME LN MTG CORP 3266 CL C |
2/15/2020 | 5.00 | % | 401,936 | ||||||||
FEDERAL HOME LN MTG CORP MULTI SER 2764 CL UE |
10/15/2032 | 5.00 | % | 879,479 | ||||||||
FEDERAL HOME LN MTG CORP PREAS 00785 SER 2885 CL DE |
12/15/2017 | 4.50 | % | 454,442 | ||||||||
FEDERAL HOME LN MTG CORP PREAS 00785 SER 2885 CL DE |
12/15/2017 | 4.50 | % | 316,580 | ||||||||
FEDERAL HOME LN MTG CORP PREAS 00819 SER 2684 CL PE |
1/15/2033 | 5.00 | % | 847,832 | ||||||||
FEDERAL HOME LN MTG CORP PREASSIGN 00172 SER 2772 CL DJ |
2/15/2018 | 4.50 | % | 296,493 | ||||||||
FEDERAL HOME LN MTG CORP PREASSIGN 00208 SER 2564 CL HJ |
2/15/2018 | 5.00 | % | 775,664 | ||||||||
FEDERAL HOME LN MTG CORP PREASSIGN 00357 SER 2962 CL JQ |
1/15/2034 | 5.50 | % | 365,463 | ||||||||
FEDERAL HOME LN MTG CORP PREASSIGN 00378 SER 2575 CL KA |
11/15/2017 | 5.00 | % | 478,521 | ||||||||
FEDERAL HOME LN MTG CORP PREASSIGN 00428 SER 2812 CL FL |
2/15/2023 | 0.45 | % | 1,932,603 | ||||||||
FEDERAL HOME LN MTG CORP PREASSIGN 00520 |
3/15/2033 | 5.50 | % | 2,059,104 | ||||||||
FEDERAL HOME LN MTG CORP PREASSIGN 00731 |
9/15/2030 | 0.74 | % | 17,174 | ||||||||
FEDERAL HOME LN MTG CORP SER 2135 CL 2135 OH |
3/15/2029 | 6.50 | % | 640,533 | ||||||||
FEDERAL HOME LN MTG CORP SER 2574 CL PD |
7/15/2031 | 5.50 | % | 119,668 | ||||||||
FEDERAL HOME LN MTG CORP SER 2600 CL MD |
6/15/2032 | 5.50 | % | 1,387,519 | ||||||||
FEDERAL HOME LN MTG CORP SER 266 CL OC |
1/15/2022 | 5.50 | % | 146,891 | ||||||||
FEDERAL HOME LN MTG CORP SER 26925 CL QD |
12/15/2022 | 5.00 | % | 2,044,621 | ||||||||
FEDERAL HOME LN MTG CORP SER 2696 CL CE |
4/15/2017 | 4.00 | % | 415,125 | ||||||||
FEDERAL HOME LN MTG CORP SER 2699 CL TG |
5/15/2017 | 4.00 | % | 546,157 | ||||||||
FEDERAL HOME LN MTG CORP SER 2707 CL QE |
11/15/2018 | 4.50 | % | 1,310,468 | ||||||||
FEDERAL HOME LN MTG CORP SER 2760 CL EC |
4/15/2017 | 4.50 | % | 1,073,992 | ||||||||
FEDERAL HOME LN MTG CORP SER 2780 CL YD |
4/15/2019 | 5.00 | % | 790,788 | ||||||||
FEDERAL HOME LN MTG CORP SER 2797 CL PG |
1/15/2033 | 5.50 | % | 854,227 | ||||||||
FEDERAL HOME LN MTG CORP SER 2810 CL PDPREASSIGN 00225 |
6/15/2033 | 6.00 | % | 340,481 | ||||||||
FEDERAL HOME LN MTG CORP SER 2864 CL LE |
6/15/2033 | 5.00 | % | 457,044 | ||||||||
FEDERAL HOME LN MTG CORP SER 2915 CL MP |
6/15/2030 | 5.00 | % | 988,018 | ||||||||
FEDERAL HOME LN MTG CORP SER 2921 CL MD |
6/15/2033 | 5.00 | % | 915,831 | ||||||||
FEDERAL HOME LN MTG CORP SER 2931 CL QC |
1/15/2019 | 4.50 | % | 1,994,549 | ||||||||
FEDERAL HOME LN MTG CORP SER 2955 CL OG PREASSIGN 00040 |
7/15/2033 | 5.00 | % | 398,746 | ||||||||
FEDERAL HOME LN MTG CORP SER 3047 CL YA |
11/15/2018 | 5.00 | % | 213,704 | ||||||||
FEDERAL HOME LN MTG CORP SER 3067 CL PK |
5/15/2034 | 5.50 | % | 2,508,049 | ||||||||
FEDERAL HOME LN MTG CORP SER 3151 CL PD |
11/15/2034 | 6.00 | % | 1,062,036 | ||||||||
FEDERAL HOME LN MTG CORP SER 3197 CL D |
3/15/2032 | 5.00 | % | 104,960 | ||||||||
FEDERAL HOME LN MTG CORP SER R013 CL AB |
12/15/2021 | 6.00 | % | 850,740 | ||||||||
FEDERAL HOME LN MTG CORP SER T 61 CL 1A1 |
7/25/2044 | 1.62 | % | 1,900,130 | ||||||||
FEDERAL HOME LN MTG PC GTD SER 1510 CL 1510 G |
5/15/2013 | 7.05 | % | 170,988 | ||||||||
FEDERAL HOME LN MTG PREASSIGN 00155 |
10/25/2029 | 0.62 | % | 467,762 | ||||||||
FEDERAL HOME LN MTG SER 2638 CL JG |
2/15/2033 | 5.00 | % | 2,638,949 | ||||||||
FEDERAL HOME LOAN BANK BONDS 02/13 2.625 |
2/26/2013 | 2.63 | % | 1,022,777 | ||||||||
FEDERAL HOME LOAN BANK BONDS 03/16 3.125 |
3/11/2016 | 3.13 | % | 1,442,785 |
- 53 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FEDERAL HOME LOAN BANK BONDS 05/12 5.75 |
5/15/2012 | 5.75 | % | 1,122,736 | ||||||||
FEDERAL HOME LOAN BANK BONDS 05/13 3.625 |
5/29/2013 | 3.63 | % | 753,090 | ||||||||
FEDERAL HOME LOAN BANK BONDS 06/13 4.25 |
6/14/2013 | 4.25 | % | 1,066,778 | ||||||||
FEDERAL HOME LOAN BANK BONDS 06/13 5.375 |
6/14/2013 | 5.38 | % | 1,072,441 | ||||||||
FEDERAL HOME LOAN BANK BONDS 06/14 5.375 |
6/13/2014 | 5.38 | % | 8,059,296 | ||||||||
FEDERAL HOME LOAN BANK BONDS 06/14 6.625 |
6/30/2014 | 6.63 | % | 1,536,492 | ||||||||
FEDERAL HOME LOAN BANK BONDS 07/36 5.5 |
7/15/2036 | 5.50 | % | 12,997,012 | ||||||||
FEDERAL HOME LOAN BANK BONDS 08/13 0.5 |
8/28/2013 | 0.50 | % | 15,543,299 | ||||||||
FEDERAL HOME LOAN BANK BONDS 09/13 2.625 |
9/13/2013 | 2.63 | % | 6,225,510 | ||||||||
FEDERAL HOME LOAN BANK BONDS 10/13 3.625 |
10/18/2013 | 3.63 | % | 908,916 | ||||||||
FEDERAL HOME LOAN BANK BONDS 11/17 5. |
11/17/2017 | 5.00 | % | 1,512,126 | ||||||||
FEDERAL HOME LOAN BANK BONDS 12/13 3.125 |
12/13/2013 | 3.13 | % | 13,098,800 | ||||||||
FEDERAL HOME LOAN BANK BONDS 12/15 5. |
12/21/2015 | 5.00 | % | 80,909 | ||||||||
FEDERAL HOME LOAN BANK BONDS 12/15 5. |
12/21/2015 | 5.00 | % | 11,558 | ||||||||
FEDERAL HOME LOAN BANK NOTES 05/14 1.375 |
5/28/2014 | 1.38 | % | 11,966,262 | ||||||||
FEDERAL HOME LOAN BANK NOTES 05/14 1.375 |
5/28/2014 | 1.38 | % | 3,497,595 | ||||||||
FEDERAL HOME LOAN BANKS FHLB QR 9012 1 |
8/15/2012 | 5.00 | % | 1,518,937 | ||||||||
FEDERAL HOME LOAN BK IL SUB NOTES 06/16 5.625 |
6/13/2016 | 5.63 | % | 5,565,426 | ||||||||
FEDERAL HOME LOAN MTG CORP SER 2649 CL KA |
7/15/2018 | 4.50 | % | 1,698,444 | ||||||||
FEDERAL HOME LOAN MTG CORP SER 3277 CL A |
1/15/2021 | 4.00 | % | 385,235 | ||||||||
FEDERAL HOME LOAN MTG CORP SER 3277 CL BK |
1/15/2037 | 6.00 | % | 105,470 | ||||||||
FEDERAL HOME LOAN MTG CORP SER 3315 CL HA |
6/15/2035 | 5.50 | % | 870,707 | ||||||||
FEDERAL HOME LOAN MTG CORP SER 3327 CL LD |
6/15/2033 | 5.50 | % | 1,317,515 | ||||||||
FEDERAL HYDROGENERATING ADR ADR |
616,198 | |||||||||||
FEDERAL NATIONAL MTG ASSN SER 2006 75 CL VD |
5/25/2017 | 6.50 | % | 2,653,046 | ||||||||
FEDERAL NATL MORTG ASSOC |
10/25/2032 | 5.50 | % | 13,746 | ||||||||
FEDERAL NATL MTG ASSN |
12/1/2099 | 3.00 | % | 9,986,453 | ||||||||
FEDERAL NATL MTG ASSN |
12/1/2099 | 3.00 | % | 2,573,828 | ||||||||
FEDERAL NATL MTG ASSN |
12/1/2099 | 3.00 | % | 1,544,297 | ||||||||
FEDERAL NATL MTG ASSN 2005 41 REMIC TR CL LV |
9/25/2033 | 5.00 | % | 202,561 | ||||||||
FEDERAL NATL MTG ASSN DISC NTS |
1/23/2012 | 0.01 | % | 12,095,867 | ||||||||
FEDERAL NATL MTG ASSN GTD REMIC TR 2001 81 CL HE |
1/25/2032 | 6.50 | % | 2,629,045 | ||||||||
FEDERAL NATL MTG ASSN PREASSIGN 00071 SER 2002 92 QE |
10/25/2031 | 5.50 | % | 97,504 | ||||||||
FEDERAL NATL MTG ASSN PREASSIGN 00089/2002 97 CL PG |
12/25/2031 | 5.50 | % | 157,322 | ||||||||
FEDERAL NATL MTG ASSN PREASSIGN 00782 2003 49 CL YD |
6/25/2023 | 5.50 | % | 370,148 | ||||||||
FEDERAL NATL MTG ASSN PREASSIGN 00895 SER 2003 23 AD |
3/25/2017 | 4.50 | % | 21,864 | ||||||||
FEDERAL NATL MTG ASSN REMIC PREASSIGN 00889 |
8/25/2030 | 5.50 | % | 423,167 | ||||||||
FEDERAL NATL MTG ASSN REMIC REMIC TR 2004 2 CL QK |
9/25/2017 | 4.00 | % | 406,505 | ||||||||
FEDERAL NATL MTG ASSN REMIC REMIC TR 2004 W1 CL 2A1 |
12/25/2043 | 6.50 | % | 363,796 | ||||||||
FEDERAL NATL MTG ASSN REMIC SER 1994015 CLZK |
2/25/2024 | 5.50 | % | 1,806,105 | ||||||||
FEDERAL NATL MTG ASSN REMIC SER 1994043 CL PK |
2/25/2024 | 6.35 | % | 1,653,431 | ||||||||
FEDERAL NATL MTG ASSN REMIC TR 2003 89 CL DC |
12/25/2032 | 5.00 | % | 1,377,578 | ||||||||
FEDERAL NATL MTG ASSN REMIC TR 2004 038 CL FK |
5/25/2034 | 0.64 | % | 1,659,840 | ||||||||
FEDERAL NATL MTG ASSN REMIC TR 2005 100 CL BA |
4/25/2021 | 5.50 | % | 810,897 | ||||||||
FEDERAL NATL MTG ASSN REMIC TR SER 2004 80 CL WB |
11/25/2019 | 4.00 | % | 4,394,283 | ||||||||
FEDERAL NATL MTG ASSN SER 1999 6 CL PB |
3/25/2019 | 6.00 | % | 592,927 | ||||||||
FEDERAL NATL MTG ASSN SER 2003 W15 |
7/25/2043 | 6.50 | % | 330,156 | ||||||||
FEDERAL NATL MTG ASSN SER 2004 36 CL EB |
3/25/2018 | 4.00 | % | 236,426 | ||||||||
FEDERAL NATL MTG ASSN SER 2004 61 CL VE |
7/25/2015 | 5.50 | % | 6,701,266 | ||||||||
FEDERAL NATL MTG ASSN SER 2005 12 CL JE |
9/25/2033 | 5.00 | % | 1,912,530 | ||||||||
FEDERAL NATL MTG ASSN SER 2005 44 CL PE |
7/25/2033 | 5.00 | % | 2,474,308 |
- 54 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FEDERAL NATL MTG ASSN SER 2005 8 CL CA |
10/25/2023 | 5.00 | % | 145,358 | ||||||||
FEDERAL NATL MTG ASSN SER 2005 91 CL DA |
10/25/2020 | 4.50 | % | 1,120,166 | ||||||||
FEDERAL NATL MTG ASSN SER 2007 76 CL DB |
5/25/2033 | 6.00 | % | 451,666 | ||||||||
FEDERAL NATL MTG ASSN SER 2007 79 CL PB |
4/25/2029 | 5.00 | % | 472,744 | ||||||||
FEDERAL NATL MTG ASSN SER 2007 95 CL A1 |
8/27/2036 | 0.54 | % | 1,761,130 | ||||||||
FEDERAL NATL MTG ASSN SER.1997 89 CL.ZA |
12/20/2027 | 7.00 | % | 629,297 | ||||||||
FEDERAL NATL MTG ASSN SERIES 2004 58 CLASS MA |
9/25/2032 | 4.50 | % | 122,684 | ||||||||
FEDERAL NATL MTG LOAN TR SER 2007 73 CL A1 |
7/25/2037 | 0.32 | % | 1,805,838 | ||||||||
FHR 2450 PG 03/22 FIXED 6 |
3/15/2022 | 6.00 | % | 2,700,164 | ||||||||
FHR 2541 EQ 12/17 FIXED 5 |
12/15/2017 | 5.00 | % | 2,521,940 | ||||||||
FHR 2808 FT 04/33 FLT |
4/15/2033 | 0.63 | % | 1,207,096 | ||||||||
FHR 3080 TZ 02/33 FIXED 5.5 |
2/15/2033 | 5.50 | % | 1,572,188 | ||||||||
FHR 3110 HB 5/29 FIXED 5.5 |
5/15/2029 | 5.50 | % | 613,215 | ||||||||
FHR 3653 HJ 04/40 FIXED 5 |
4/15/2040 | 5.00 | % | 1,195,152 | ||||||||
FIDESSA GROUP PLC COMMON STOCK GBP.1 |
141,081 | |||||||||||
FIFTH THIRD BANCORP SR UNSECURED 01/16 3.625 |
1/25/2016 | 3.63 | % | 131,897 | ||||||||
FIFTH THIRD BANCORP SR UNSECURED 05/13 6.25 |
5/1/2013 | 6.25 | % | 483,554 | ||||||||
FINISAR CORPORATION COMMON STOCK USD.001 |
1,550,587 | |||||||||||
FINISH LINE/THE CL A COMMON STOCK USD.01 |
1,588,120 | |||||||||||
FINMECCANICA SPA UNSPN ADR DEPOSITORY RECEIPT |
299,859 | |||||||||||
FIRST POTOMAC REALTY TRUST REIT USD.001 |
1,773,560 | |||||||||||
FIRST TENNESSEE BANK SUBORDINATED 05/13 4.625 |
5/15/2013 | 4.63 | % | 4,771,837 | ||||||||
FIRSTENERGY CORP SR UNSECURED 11/31 7.375 |
11/15/2031 | 7.38 | % | 5,620,081 | ||||||||
FIRSTMERIT CORP COMMON STOCK NPV |
1,851,519 | |||||||||||
FIRSTMERIT CORP COMMON STOCK NPV |
(194,313 | ) | ||||||||||
FISERV INC COMMON STOCK USD.01 |
1,039,698 | |||||||||||
FISERV INC COMMON STOCK USD.01 |
1,574,232 | |||||||||||
FISERV INC COMPANY GUAR 06/16 3.125 |
6/15/2016 | 3.13 | % | 560,006 | ||||||||
FLEETCOR TECHNOLOGIES INC COMMON STOCK USD.001 |
1,335,189 | |||||||||||
FLEETCOR TECHNOLOGIES INC COMMON STOCK USD.001 |
1,193,277 | |||||||||||
FLORIDA ST TURNPIKE AUTH FLSTRN 07/39 FIXED OID 6.8 |
7/1/2039 | 6.80 | % | 2,603,485 | ||||||||
FLUGHAFEN ZUERICH AG REG COMMON STOCK CHF50. |
470,645 | |||||||||||
FLUOR CORP COMMON STOCK USD.01 |
534,660 | |||||||||||
FNMA POOL 027489 |
6/1/2016 | 9.50 | % | 4,990 | ||||||||
FNMA POOL 050305 |
5/1/2020 | 9.50 | % | 5,528 | ||||||||
FNMA POOL 050402 |
2/1/2021 | 9.00 | % | 1,217 | ||||||||
FNMA POOL 050415 |
3/1/2021 | 9.00 | % | 1,270 | ||||||||
FNMA POOL 050795 |
9/1/2023 | 7.00 | % | 5,305 | ||||||||
FNMA POOL 050947 |
12/1/2023 | 7.00 | % | 55,973 | ||||||||
FNMA POOL 050966 |
1/1/2024 | 7.00 | % | 23,220 | ||||||||
FNMA POOL 050993 |
2/1/2024 | 7.00 | % | 18,658 | ||||||||
FNMA POOL 060680 |
2/1/2028 | 4.43 | % | 97,527 | ||||||||
FNMA POOL 070110 |
10/1/2016 | 10.00 | % | 5,506 | ||||||||
FNMA POOL 100168 |
1/1/2021 | 9.50 | % | 28,453 | ||||||||
FNMA POOL 108489 |
11/1/2020 | 9.00 | % | 18,210 | ||||||||
FNMA POOL 113977 |
2/1/2021 | 9.00 | % | 7,851 | ||||||||
FNMA POOL 190350 |
3/1/2034 | 5.50 | % | 1,073,342 | ||||||||
FNMA POOL 190353 |
8/1/2034 | 5.00 | % | 60,282 | ||||||||
FNMA POOL 190357 |
3/1/2035 | 5.00 | % | 45,693 | ||||||||
FNMA POOL 190360 |
8/1/2035 | 5.00 | % | 38,385 | ||||||||
FNMA POOL 190377 |
11/1/2036 | 5.00 | % | 47,756 |
- 55 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 190533 |
1/1/2024 | 7.00 | % | 9,301 | ||||||||
FNMA POOL 242136 |
10/1/2023 | 7.00 | % | 645 | ||||||||
FNMA POOL 245442 |
11/1/2023 | 7.00 | % | 5,566 | ||||||||
FNMA POOL 251572 |
3/1/2013 | 7.00 | % | 670 | ||||||||
FNMA POOL 252210 |
2/1/2019 | 6.50 | % | 46,533 | ||||||||
FNMA POOL 252210 |
2/1/2019 | 6.50 | % | 86,039 | ||||||||
FNMA POOL 252869 |
11/1/2014 | 6.50 | % | 97,602 | ||||||||
FNMA POOL 253153 |
2/1/2020 | 7.00 | % | 61,133 | ||||||||
FNMA POOL 253799 |
5/1/2016 | 6.50 | % | 110,319 | ||||||||
FNMA POOL 253947 |
8/1/2031 | 8.00 | % | 68,717 | ||||||||
FNMA POOL 254223 |
2/1/2032 | 7.50 | % | 1,059 | ||||||||
FNMA POOL 254770 |
5/1/2013 | 4.00 | % | 109,068 | ||||||||
FNMA POOL 254817 |
6/1/2013 | 4.00 | % | 54,491 | ||||||||
FNMA POOL 254863 |
8/1/2013 | 4.00 | % | 652,255 | ||||||||
FNMA POOL 254909 |
9/1/2013 | 4.00 | % | 1,550,839 | ||||||||
FNMA POOL 254929 |
9/1/2013 | 3.50 | % | 13,816 | ||||||||
FNMA POOL 254957 |
10/1/2013 | 4.00 | % | 208,312 | ||||||||
FNMA POOL 254976 |
10/1/2013 | 3.50 | % | 120,660 | ||||||||
FNMA POOL 254988 |
11/1/2013 | 4.00 | % | 139,727 | ||||||||
FNMA POOL 255174 |
3/1/2014 | 4.00 | % | 110,846 | ||||||||
FNMA POOL 255235 |
5/1/2014 | 4.00 | % | 777,826 | ||||||||
FNMA POOL 255750 |
5/1/2015 | 4.00 | % | 439,957 | ||||||||
FNMA POOL 257148 |
3/1/2018 | 4.50 | % | 100,723 | ||||||||
FNMA POOL 262211 |
12/1/2023 | 7.00 | % | 860 | ||||||||
FNMA POOL 266624 |
1/1/2024 | 7.00 | % | 807 | ||||||||
FNMA POOL 267282 |
1/1/2024 | 7.00 | % | 307 | ||||||||
FNMA POOL 267989 |
2/1/2024 | 7.00 | % | 7,981 | ||||||||
FNMA POOL 269212 |
1/1/2024 | 7.00 | % | 324 | ||||||||
FNMA POOL 273495 |
3/1/2024 | 7.00 | % | 32,067 | ||||||||
FNMA POOL 274621 |
3/1/2024 | 7.00 | % | 1,907 | ||||||||
FNMA POOL 303675 |
10/1/2017 | 10.00 | % | 37,072 | ||||||||
FNMA POOL 310096 |
8/1/2026 | 3.50 | % | 2,404,404 | ||||||||
FNMA POOL 312206 |
6/1/2025 | 2.35 | % | 58,826 | ||||||||
FNMA POOL 313499 |
10/1/2018 | 10.00 | % | 37,522 | ||||||||
FNMA POOL 313712 |
9/1/2012 | 6.00 | % | 150 | ||||||||
FNMA POOL 313712 |
9/1/2012 | 6.00 | % | 211 | ||||||||
FNMA POOL 313947 |
1/1/2028 | 7.00 | % | 5,932 | ||||||||
FNMA POOL 330089 |
4/1/2025 | 8.00 | % | 69,542 | ||||||||
FNMA POOL 330126 |
8/1/2025 | 2.43 | % | 114,315 | ||||||||
FNMA POOL 331427 |
11/1/2025 | 2.25 | % | 38,592 | ||||||||
FNMA POOL 347547 |
8/1/2026 | 2.25 | % | 650 | ||||||||
FNMA POOL 347633 |
7/1/2026 | 2.29 | % | 29,053 | ||||||||
FNMA POOL 362968 |
1/1/2026 | 2.57 | % | 73,160 | ||||||||
FNMA POOL 366826 |
1/1/2027 | 7.00 | % | 12,001 | ||||||||
FNMA POOL 366897 |
2/1/2012 | 7.50 | % | 587 | ||||||||
FNMA POOL 367801 |
5/1/2024 | 9.00 | % | 4,462 | ||||||||
FNMA POOL 369996 |
1/1/2027 | 7.50 | % | 4,276 | ||||||||
FNMA POOL 371049 |
2/1/2027 | 7.50 | % | 17,101 | ||||||||
FNMA POOL 371073 |
2/1/2027 | 7.50 | % | 8,821 | ||||||||
FNMA POOL 371763 |
2/1/2012 | 7.50 | % | 494 | ||||||||
FNMA POOL 371871 |
2/1/2027 | 7.50 | % | 10,692 |
- 56 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 377038 |
4/1/2027 | 7.50 | % | 14,558 | ||||||||
FNMA POOL 390212 |
8/1/2012 | 7.00 | % | 210 | ||||||||
FNMA POOL 390986 |
8/1/2027 | 2.25 | % | 276,307 | ||||||||
FNMA POOL 392250 |
1/1/2013 | 7.00 | % | 6,353 | ||||||||
FNMA POOL 396434 |
11/1/2027 | 7.50 | % | 623 | ||||||||
FNMA POOL 396439 |
11/1/2027 | 7.50 | % | 9,939 | ||||||||
FNMA POOL 397256 |
10/1/2027 | 7.50 | % | 1,580 | ||||||||
FNMA POOL 397781 |
10/1/2027 | 7.50 | % | 14,456 | ||||||||
FNMA POOL 398203 |
1/1/2013 | 7.00 | % | 2,437 | ||||||||
FNMA POOL 398754 |
9/1/2027 | 7.50 | % | 7,298 | ||||||||
FNMA POOL 400044 |
10/1/2027 | 7.50 | % | 7,167 | ||||||||
FNMA POOL 401788 |
10/1/2027 | 7.50 | % | 4,624 | ||||||||
FNMA POOL 415387 |
2/1/2013 | 7.00 | % | 1,315 | ||||||||
FNMA POOL 479545 |
8/1/2029 | 7.00 | % | 7,123 | ||||||||
FNMA POOL 487594 |
3/1/2014 | 6.00 | % | 27,041 | ||||||||
FNMA POOL 487594 |
3/1/2014 | 6.00 | % | 51,166 | ||||||||
FNMA POOL 489144 |
7/1/2014 | 6.00 | % | 2,720 | ||||||||
FNMA POOL 489144 |
7/1/2014 | 6.00 | % | 4,327 | ||||||||
FNMA POOL 492745 |
5/1/2029 | 7.00 | % | 27,299 | ||||||||
FNMA POOL 503573 |
10/1/2029 | 7.00 | % | 7,651 | ||||||||
FNMA POOL 507521 |
8/1/2029 | 7.00 | % | 17,260 | ||||||||
FNMA POOL 509418 |
9/1/2029 | 7.00 | % | 2,977 | ||||||||
FNMA POOL 509436 |
10/1/2029 | 7.00 | % | 16,337 | ||||||||
FNMA POOL 509662 |
8/1/2029 | 7.00 | % | 5,095 | ||||||||
FNMA POOL 511103 |
8/1/2029 | 7.00 | % | 23,067 | ||||||||
FNMA POOL 511384 |
9/1/2029 | 7.00 | % | 6,391 | ||||||||
FNMA POOL 514267 |
9/1/2029 | 7.00 | % | 3,650 | ||||||||
FNMA POOL 515518 |
10/1/2029 | 7.00 | % | 5,117 | ||||||||
FNMA POOL 517511 |
10/1/2029 | 7.00 | % | 28,728 | ||||||||
FNMA POOL 518108 |
9/1/2029 | 7.00 | % | 11,490 | ||||||||
FNMA POOL 519753 |
11/1/2029 | 7.00 | % | 4,164 | ||||||||
FNMA POOL 522760 |
11/1/2029 | 7.00 | % | 14,520 | ||||||||
FNMA POOL 523486 |
8/1/2030 | 8.00 | % | 1,275 | ||||||||
FNMA POOL 529428 |
3/1/2030 | 8.00 | % | 4,296 | ||||||||
FNMA POOL 533757 |
6/1/2030 | 8.00 | % | 17,637 | ||||||||
FNMA POOL 534194 |
4/1/2030 | 8.00 | % | 5,947 | ||||||||
FNMA POOL 534659 |
5/1/2015 | 7.00 | % | 31,742 | ||||||||
FNMA POOL 545204 |
5/1/2036 | 3.40 | % | 205,534 | ||||||||
FNMA POOL 545278 |
11/1/2031 | 7.50 | % | 81,755 | ||||||||
FNMA POOL 545278 |
11/1/2031 | 7.50 | % | 154,221 | ||||||||
FNMA POOL 546263 |
7/1/2030 | 8.00 | % | 255 | ||||||||
FNMA POOL 547813 |
7/1/2030 | 8.00 | % | 8,890 | ||||||||
FNMA POOL 554482 |
10/1/2030 | 7.50 | % | 283,940 | ||||||||
FNMA POOL 569915 |
2/1/2016 | 7.00 | % | 132,642 | ||||||||
FNMA POOL 569972 |
3/1/2031 | 7.50 | % | 89,101 | ||||||||
FNMA POOL 569973 |
2/1/2031 | 8.00 | % | 38,517 | ||||||||
FNMA POOL 572675 |
4/1/2031 | 7.50 | % | 145,008 | ||||||||
FNMA POOL 589396 |
7/1/2016 | 6.00 | % | 120,579 | ||||||||
FNMA POOL 589396 |
7/1/2016 | 6.00 | % | 226,067 | ||||||||
FNMA POOL 593848 |
7/1/2031 | 8.00 | % | 25,289 | ||||||||
FNMA POOL 602065 |
9/1/2031 | 7.00 | % | 240,704 |
- 57 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 604576 |
9/1/2021 | 6.50 | % | 18,106 | ||||||||
FNMA POOL 604576 |
9/1/2021 | 6.50 | % | 28,809 | ||||||||
FNMA POOL 609504 |
10/1/2031 | 7.00 | % | 381,479 | ||||||||
FNMA POOL 621101 |
1/1/2017 | 6.00 | % | 125,437 | ||||||||
FNMA POOL 621101 |
1/1/2017 | 6.00 | % | 223,406 | ||||||||
FNMA POOL 641089 |
5/1/2032 | 7.00 | % | 435,734 | ||||||||
FNMA POOL 649952 |
6/1/2032 | 6.50 | % | 75,640 | ||||||||
FNMA POOL 676654 |
1/1/2033 | 5.50 | % | 653,673 | ||||||||
FNMA POOL 683271 |
2/1/2033 | 5.50 | % | 259,823 | ||||||||
FNMA POOL 720688 |
6/1/2018 | 4.50 | % | 184,033 | ||||||||
FNMA POOL 725425 |
4/1/2034 | 5.50 | % | 18,271,711 | ||||||||
FNMA POOL 725946 |
11/1/2034 | 5.50 | % | 3,668,478 | ||||||||
FNMA POOL 725946 |
11/1/2034 | 5.50 | % | 746,229 | ||||||||
FNMA POOL 735061 |
11/1/2034 | 6.00 | % | 8,407,494 | ||||||||
FNMA POOL 735141 |
1/1/2035 | 5.50 | % | 6,801,806 | ||||||||
FNMA POOL 735208 |
10/1/2019 | 6.00 | % | 802,007 | ||||||||
FNMA POOL 735224 |
2/1/2035 | 5.50 | % | 5,471,963 | ||||||||
FNMA POOL 735288 |
3/1/2035 | 5.00 | % | 15,764,166 | ||||||||
FNMA POOL 735321 |
3/1/2015 | 4.00 | % | 44,823 | ||||||||
FNMA POOL 735382 |
4/1/2035 | 5.00 | % | 6,128,610 | ||||||||
FNMA POOL 735439 |
9/1/2019 | 6.00 | % | 903,889 | ||||||||
FNMA POOL 735500 |
5/1/2035 | 5.50 | % | 8,022,200 | ||||||||
FNMA POOL 735501 |
5/1/2035 | 6.00 | % | 1,450,855 | ||||||||
FNMA POOL 735503 |
4/1/2035 | 6.00 | % | 1,824,204 | ||||||||
FNMA POOL 735561 |
4/1/2034 | 2.39 | % | 232,655 | ||||||||
FNMA POOL 735580 |
6/1/2035 | 5.00 | % | 2,812,264 | ||||||||
FNMA POOL 735676 |
7/1/2035 | 5.00 | % | 25,990,776 | ||||||||
FNMA POOL 735676 |
7/1/2035 | 5.00 | % | 1,876,958 | ||||||||
FNMA POOL 735809 |
8/1/2035 | 2.49 | % | 3,141,286 | ||||||||
FNMA POOL 735809 |
8/1/2035 | 2.49 | % | 430,705 | ||||||||
FNMA POOL 735893 |
10/1/2035 | 5.00 | % | 12,465,429 | ||||||||
FNMA POOL 735893 |
10/1/2035 | 5.00 | % | 893,824 | ||||||||
FNMA POOL 735925 |
10/1/2035 | 5.00 | % | 123,892 | ||||||||
FNMA POOL 735971 |
11/1/2034 | 5.50 | % | 251,819 | ||||||||
FNMA POOL 735989 |
2/1/2035 | 5.50 | % | 7,075,263 | ||||||||
FNMA POOL 735989 |
2/1/2035 | 5.50 | % | 12,491,194 | ||||||||
FNMA POOL 745000 |
10/1/2035 | 6.00 | % | 292,303 | ||||||||
FNMA POOL 745140 |
11/1/2035 | 5.00 | % | 10,346,298 | ||||||||
FNMA POOL 745327 |
3/1/2036 | 6.00 | % | 1,156,247 | ||||||||
FNMA POOL 745412 |
12/1/2035 | 5.50 | % | 5,868,744 | ||||||||
FNMA POOL 745619 |
5/1/2036 | 5.58 | % | 5,238,998 | ||||||||
FNMA POOL 745619 |
5/1/2036 | 5.58 | % | 719,589 | ||||||||
FNMA POOL 745664 |
7/1/2036 | 6.50 | % | 76,135 | ||||||||
FNMA POOL 745830 |
4/1/2036 | 5.50 | % | 2,375,347 | ||||||||
FNMA POOL 745885 |
10/1/2036 | 6.00 | % | 6,173,195 | ||||||||
FNMA POOL 745948 |
10/1/2036 | 6.50 | % | 595,946 | ||||||||
FNMA POOL 745959 |
11/1/2036 | 5.50 | % | 3,937,650 | ||||||||
FNMA POOL 758777 |
4/1/2028 | 6.50 | % | 1,289 | ||||||||
FNMA POOL 761037 |
1/1/2019 | 4.50 | % | 8,452 | ||||||||
FNMA POOL 768005 |
9/1/2013 | 4.00 | % | 22,305 | ||||||||
FNMA POOL 779427 |
6/1/2034 | 5.50 | % | 1,531,070 |
- 58 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 780371 |
6/1/2034 | 5.50 | % | 2,009,651 | ||||||||
FNMA POOL 789035 |
7/1/2034 | 5.50 | % | 1,905,417 | ||||||||
FNMA POOL 811569 |
6/1/2021 | 6.00 | % | 148,571 | ||||||||
FNMA POOL 813599 |
1/1/2036 | 2.38 | % | 393,556 | ||||||||
FNMA POOL 825480 |
6/1/2035 | 2.46 | % | 707,655 | ||||||||
FNMA POOL 827223 |
4/1/2035 | 2.22 | % | 5,354,105 | ||||||||
FNMA POOL 827223 |
4/1/2035 | 2.22 | % | 734,042 | ||||||||
FNMA POOL 827601 |
8/1/2019 | 5.50 | % | 829,688 | ||||||||
FNMA POOL 831561 |
5/1/2036 | 6.50 | % | 433,674 | ||||||||
FNMA POOL 832265 |
8/1/2035 | 6.50 | % | 64,685 | ||||||||
FNMA POOL 833600 |
11/1/2035 | 6.50 | % | 483,689 | ||||||||
FNMA POOL 833600 |
11/1/2035 | 6.50 | % | 65,885 | ||||||||
FNMA POOL 836464 |
10/1/2035 | 2.18 | % | 2,158,954 | ||||||||
FNMA POOL 836464 |
10/1/2035 | 2.18 | % | 296,549 | ||||||||
FNMA POOL 836852 |
10/1/2035 | 2.12 | % | 1,551,599 | ||||||||
FNMA POOL 836852 |
10/1/2035 | 2.12 | % | 212,610 | ||||||||
FNMA POOL 839289 |
9/1/2020 | 4.50 | % | 51,964 | ||||||||
FNMA POOL 843823 |
11/1/2035 | 2.16 | % | 1,038,316 | ||||||||
FNMA POOL 843823 |
11/1/2035 | 2.16 | % | 143,138 | ||||||||
FNMA POOL 843997 |
11/1/2035 | 2.16 | % | 510,810 | ||||||||
FNMA POOL 843997 |
11/1/2035 | 2.16 | % | 69,149 | ||||||||
FNMA POOL 844052 |
11/1/2035 | 2.17 | % | 488,183 | ||||||||
FNMA POOL 844052 |
11/1/2035 | 2.17 | % | 66,086 | ||||||||
FNMA POOL 844148 |
11/1/2035 | 2.17 | % | 411,918 | ||||||||
FNMA POOL 844148 |
11/1/2035 | 2.17 | % | 55,762 | ||||||||
FNMA POOL 844237 |
11/1/2035 | 2.17 | % | 394,312 | ||||||||
FNMA POOL 844237 |
11/1/2035 | 2.17 | % | 53,378 | ||||||||
FNMA POOL 844789 |
11/1/2035 | 2.15 | % | 446,224 | ||||||||
FNMA POOL 844789 |
11/1/2035 | 2.15 | % | 60,406 | ||||||||
FNMA POOL 850089 |
11/1/2035 | 6.50 | % | 134,383 | ||||||||
FNMA POOL 865666 |
2/1/2036 | 6.50 | % | 102,600 | ||||||||
FNMA POOL 866888 |
1/1/2036 | 2.42 | % | 518,361 | ||||||||
FNMA POOL 872021 |
6/1/2021 | 6.00 | % | 179,688 | ||||||||
FNMA POOL 872502 |
6/1/2036 | 2.52 | % | 4,693,848 | ||||||||
FNMA POOL 872502 |
6/1/2036 | 2.52 | % | 643,180 | ||||||||
FNMA POOL 879067 |
4/1/2036 | 2.39 | % | 2,563,708 | ||||||||
FNMA POOL 879394 |
2/1/2021 | 5.00 | % | 158,058 | ||||||||
FNMA POOL 880870 |
3/1/2036 | 6.50 | % | 461,873 | ||||||||
FNMA POOL 880870 |
3/1/2036 | 6.50 | % | 64,314 | ||||||||
FNMA POOL 884729 |
8/1/2036 | 2.39 | % | 401,585 | ||||||||
FNMA POOL 884773 |
10/1/2036 | 2.36 | % | 562,415 | ||||||||
FNMA POOL 888366 |
4/1/2037 | 7.00 | % | 1,410,011 | ||||||||
FNMA POOL 888601 |
6/1/2020 | 5.50 | % | 1,244,931 | ||||||||
FNMA POOL 888637 |
9/1/2037 | 6.00 | % | 951,440 | ||||||||
FNMA POOL 888832 |
11/1/2037 | 6.50 | % | 202,870 | ||||||||
FNMA POOL 888876 |
5/1/2033 | 5.50 | % | 9,166,000 | ||||||||
FNMA POOL 888890 |
10/1/2037 | 6.50 | % | 1,712,061 | ||||||||
FNMA POOL 888893 |
8/1/2037 | 5.50 | % | 377,479 | ||||||||
FNMA POOL 889072 |
12/1/2037 | 6.50 | % | 1,841,781 | ||||||||
FNMA POOL 889190 |
3/1/2038 | 6.00 | % | 779,179 | ||||||||
FNMA POOL 889202 |
3/1/2023 | 4.00 | % | 2,674,103 |
- 59 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 889266 |
3/1/2023 | 4.50 | % | 255,295 | ||||||||
FNMA POOL 889579 |
5/1/2038 | 6.00 | % | 3,460,909 | ||||||||
FNMA POOL 889745 |
6/1/2036 | 5.50 | % | 251,741 | ||||||||
FNMA POOL 890112 |
4/1/2024 | 4.00 | % | 1,658,587 | ||||||||
FNMA POOL 890116 |
2/1/2023 | 7.00 | % | 2,847,729 | ||||||||
FNMA POOL 890119 |
4/1/2024 | 4.50 | % | 2,247,918 | ||||||||
FNMA POOL 890236 |
8/1/2040 | 4.50 | % | 594,619 | ||||||||
FNMA POOL 890260 |
10/1/2025 | 3.50 | % | 292,114 | ||||||||
FNMA POOL 890263 |
11/1/2025 | 4.00 | % | 842,745 | ||||||||
FNMA POOL 890268 |
10/1/2038 | 6.50 | % | 2,753,387 | ||||||||
FNMA POOL 890297 |
4/1/2026 | 4.00 | % | 1,855,317 | ||||||||
FNMA POOL 890306 |
4/1/2026 | 4.00 | % | 11,827,049 | ||||||||
FNMA POOL 891654 |
6/1/2036 | 6.50 | % | 952,780 | ||||||||
FNMA POOL 898736 |
5/1/2036 | 5.60 | % | 2,810,622 | ||||||||
FNMA POOL 898736 |
5/1/2036 | 5.60 | % | 386,257 | ||||||||
FNMA POOL 899043 |
2/1/2022 | 4.50 | % | 512,528 | ||||||||
FNMA POOL 902425 |
11/1/2036 | 2.66 | % | 146,961 | ||||||||
FNMA POOL 903261 |
10/1/2036 | 6.00 | % | 636,064 | ||||||||
FNMA POOL 903261 |
10/1/2036 | 6.00 | % | 87,459 | ||||||||
FNMA POOL 903991 |
12/1/2036 | 6.50 | % | 250,744 | ||||||||
FNMA POOL 906666 |
12/1/2036 | 6.50 | % | 346,859 | ||||||||
FNMA POOL 906666 |
12/1/2036 | 6.50 | % | 46,475 | ||||||||
FNMA POOL 908172 |
1/1/2037 | 6.50 | % | 57,795 | ||||||||
FNMA POOL 913984 |
2/1/2037 | 6.29 | % | 1,064,962 | ||||||||
FNMA POOL 913984 |
2/1/2037 | 6.29 | % | 146,360 | ||||||||
FNMA POOL 914875 |
4/1/2037 | 6.50 | % | 608,356 | ||||||||
FNMA POOL 917162 |
6/1/2022 | 4.50 | % | 216,687 | ||||||||
FNMA POOL 918653 |
6/1/2037 | 6.00 | % | 701,551 | ||||||||
FNMA POOL 918653 |
6/1/2037 | 6.00 | % | 97,607 | ||||||||
FNMA POOL 928229 |
12/1/2036 | 6.50 | % | 99,347 | ||||||||
FNMA POOL 928746 |
9/1/2037 | 6.50 | % | 60,962 | ||||||||
FNMA POOL 929283 |
4/1/2023 | 4.50 | % | 35,428 | ||||||||
FNMA POOL 929298 |
3/1/2038 | 5.00 | % | 1,185,248 | ||||||||
FNMA POOL 929298 |
3/1/2038 | 5.00 | % | 162,802 | ||||||||
FNMA POOL 929397 |
5/1/2023 | 4.50 | % | 3,991,379 | ||||||||
FNMA POOL 930486 |
1/1/2039 | 4.00 | % | 138,150 | ||||||||
FNMA POOL 930719 |
3/1/2019 | 4.50 | % | 117,709 | ||||||||
FNMA POOL 930741 |
3/1/2024 | 4.50 | % | 127,498 | ||||||||
FNMA POOL 930858 |
4/1/2024 | 4.50 | % | 158,540 | ||||||||
FNMA POOL 931252 |
5/1/2024 | 4.00 | % | 86,759 | ||||||||
FNMA POOL 931307 |
6/1/2039 | 4.50 | % | 1,796,183 | ||||||||
FNMA POOL 931413 |
6/1/2024 | 4.50 | % | 542,298 | ||||||||
FNMA POOL 931991 |
9/1/2039 | 4.50 | % | 2,790,270 | ||||||||
FNMA POOL 932058 |
10/1/2039 | 4.50 | % | 1,515,908 | ||||||||
FNMA POOL 932426 |
1/1/2040 | 4.50 | % | 3,826,473 | ||||||||
FNMA POOL 932474 |
2/1/2040 | 4.50 | % | | ||||||||
FNMA POOL 932495 |
2/1/2040 | 4.50 | % | 499,809 | ||||||||
FNMA POOL 932557 |
2/1/2025 | 4.00 | % | 46,541 | ||||||||
FNMA POOL 932561 |
2/1/2025 | 4.50 | % | 732,587 | ||||||||
FNMA POOL 932669 |
3/1/2040 | 4.50 | % | 56,256 | ||||||||
FNMA POOL 932848 |
12/1/2040 | 4.00 | % | 570,053 |
- 60 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 932862 |
12/1/2040 | 3.50 | % | 9,213,008 | ||||||||
FNMA POOL 932865 |
12/1/2040 | 4.00 | % | 593,190 | ||||||||
FNMA POOL 933409 |
3/1/2038 | 5.00 | % | 1,174,254 | ||||||||
FNMA POOL 933409 |
3/1/2038 | 5.00 | % | 162,662 | ||||||||
FNMA POOL 933493 |
3/1/2023 | 4.50 | % | 468,847 | ||||||||
FNMA POOL 933638 |
8/1/2038 | 5.09 | % | 3,510,351 | ||||||||
FNMA POOL 933638 |
8/1/2038 | 5.09 | % | 932,625 | ||||||||
FNMA POOL 933883 |
4/1/2023 | 4.50 | % | 10,679 | ||||||||
FNMA POOL 933884 |
4/1/2023 | 4.50 | % | 441,460 | ||||||||
FNMA POOL 933915 |
6/1/2023 | 4.50 | % | 31,370 | ||||||||
FNMA POOL 934802 |
3/1/2024 | 4.00 | % | 28,346 | ||||||||
FNMA POOL 935636 |
9/1/2024 | 4.00 | % | 977,260 | ||||||||
FNMA POOL 935983 |
5/1/2025 | 4.00 | % | 56,061 | ||||||||
FNMA POOL 941601 |
10/1/2040 | 4.00 | % | 143,864 | ||||||||
FNMA POOL 942798 |
8/1/2037 | 6.50 | % | 916,719 | ||||||||
FNMA POOL 943699 |
8/1/2037 | 6.50 | % | 888,970 | ||||||||
FNMA POOL 944851 |
4/1/2023 | 4.50 | % | 163,364 | ||||||||
FNMA POOL 946065 |
9/1/2037 | 6.50 | % | 88,729 | ||||||||
FNMA POOL 948849 |
8/1/2037 | 6.00 | % | 3,416,661 | ||||||||
FNMA POOL 948849 |
8/1/2037 | 6.00 | % | 468,728 | ||||||||
FNMA POOL 949415 |
3/1/2023 | 4.50 | % | 181,492 | ||||||||
FNMA POOL 955762 |
10/1/2037 | 6.50 | % | 170,750 | ||||||||
FNMA POOL 955762 |
10/1/2037 | 6.50 | % | 23,262 | ||||||||
FNMA POOL 962005 |
3/1/2023 | 4.50 | % | 646,631 | ||||||||
FNMA POOL 962062 |
3/1/2038 | 5.00 | % | 1,302,389 | ||||||||
FNMA POOL 962062 |
3/1/2038 | 5.00 | % | 176,863 | ||||||||
FNMA POOL 962078 |
3/1/2023 | 4.50 | % | 365,886 | ||||||||
FNMA POOL 962366 |
4/1/2023 | 4.50 | % | 704,761 | ||||||||
FNMA POOL 962444 |
4/1/2038 | 5.00 | % | 494,404 | ||||||||
FNMA POOL 962444 |
4/1/2038 | 5.00 | % | 70,211 | ||||||||
FNMA POOL 962585 |
4/1/2023 | 4.50 | % | 229,387 | ||||||||
FNMA POOL 962638 |
4/1/2023 | 4.50 | % | 79,715 | ||||||||
FNMA POOL 963128 |
5/1/2023 | 4.50 | % | 527,134 | ||||||||
FNMA POOL 963146 |
5/1/2023 | 4.50 | % | 93,375 | ||||||||
FNMA POOL 963281 |
5/1/2023 | 4.50 | % | 648,836 | ||||||||
FNMA POOL 965586 |
2/1/2023 | 4.50 | % | 29,628 | ||||||||
FNMA POOL 965595 |
3/1/2023 | 4.50 | % | 130,072 | ||||||||
FNMA POOL 966683 |
3/1/2023 | 4.50 | % | 305,886 | ||||||||
FNMA POOL 968648 |
1/1/2023 | 4.50 | % | 43,889 | ||||||||
FNMA POOL 969091 |
4/1/2023 | 4.50 | % | 652,461 | ||||||||
FNMA POOL 969815 |
2/1/2023 | 4.50 | % | 73,215 | ||||||||
FNMA POOL 971036 |
2/1/2039 | 4.50 | % | 270,123 | ||||||||
FNMA POOL 971053 |
2/1/2039 | 4.50 | % | 430,632 | ||||||||
FNMA POOL 972242 |
3/1/2038 | 6.50 | % | 2,773 | ||||||||
FNMA POOL 972571 |
3/1/2038 | 5.00 | % | 1,436,727 | ||||||||
FNMA POOL 972571 |
3/1/2038 | 5.00 | % | 198,865 | ||||||||
FNMA POOL 972572 |
3/1/2038 | 5.00 | % | 679,343 | ||||||||
FNMA POOL 972572 |
3/1/2038 | 5.00 | % | 91,449 | ||||||||
FNMA POOL 973161 |
2/1/2038 | 6.50 | % | 859,908 | ||||||||
FNMA POOL 973707 |
4/1/2023 | 4.50 | % | 483,373 | ||||||||
FNMA POOL 973827 |
3/1/2023 | 4.50 | % | 38,900 |
- 61 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 974633 |
3/1/2023 | 4.50 | % | 438,080 | ||||||||
FNMA POOL 975184 |
3/1/2038 | 5.00 | % | 623,435 | ||||||||
FNMA POOL 975184 |
3/1/2038 | 5.00 | % | 84,404 | ||||||||
FNMA POOL 975185 |
3/1/2038 | 5.00 | % | 542,614 | ||||||||
FNMA POOL 975185 |
3/1/2038 | 5.00 | % | 74,174 | ||||||||
FNMA POOL 975259 |
4/1/2023 | 4.50 | % | 2,276,509 | ||||||||
FNMA POOL 975330 |
5/1/2023 | 4.50 | % | 181,094 | ||||||||
FNMA POOL 975364 |
6/1/2023 | 4.50 | % | 222,091 | ||||||||
FNMA POOL 975441 |
3/1/2038 | 5.00 | % | 553,518 | ||||||||
FNMA POOL 975441 |
3/1/2038 | 5.00 | % | 78,614 | ||||||||
FNMA POOL 975453 |
3/1/2038 | 5.00 | % | 929,912 | ||||||||
FNMA POOL 975453 |
3/1/2038 | 5.00 | % | 125,512 | ||||||||
FNMA POOL 975454 |
3/1/2038 | 5.00 | % | 337,768 | ||||||||
FNMA POOL 975454 |
3/1/2038 | 5.00 | % | 44,993 | ||||||||
FNMA POOL 976071 |
3/1/2023 | 4.50 | % | 11,822 | ||||||||
FNMA POOL 976725 |
4/1/2038 | 4.50 | % | 179,029 | ||||||||
FNMA POOL 979973 |
9/1/2036 | 5.00 | % | 117,522 | ||||||||
FNMA POOL 981273 |
4/1/2023 | 4.50 | % | 1,795,721 | ||||||||
FNMA POOL 981276 |
4/1/2023 | 4.50 | % | 604,707 | ||||||||
FNMA POOL 981359 |
4/1/2023 | 4.50 | % | 202,175 | ||||||||
FNMA POOL 981564 |
5/1/2023 | 4.50 | % | 165,899 | ||||||||
FNMA POOL 982047 |
5/1/2038 | 5.50 | % | 719,063 | ||||||||
FNMA POOL 982305 |
5/1/2023 | 4.50 | % | 508,975 | ||||||||
FNMA POOL 982569 |
4/1/2039 | 4.00 | % | 149,223 | ||||||||
FNMA POOL 982875 |
5/1/2023 | 4.50 | % | 58,890 | ||||||||
FNMA POOL 982892 |
5/1/2023 | 4.50 | % | 139,478 | ||||||||
FNMA POOL 983605 |
5/1/2023 | 4.50 | % | 39,905 | ||||||||
FNMA POOL 983629 |
5/1/2023 | 4.50 | % | 1,289,316 | ||||||||
FNMA POOL 984253 |
5/1/2023 | 4.50 | % | 1,350,360 | ||||||||
FNMA POOL 984632 |
6/1/2038 | 4.86 | % | 4,373,161 | ||||||||
FNMA POOL 984632 |
6/1/2038 | 4.86 | % | 1,162,689 | ||||||||
FNMA POOL 987325 |
9/1/2038 | 5.57 | % | 3,032,437 | ||||||||
FNMA POOL 987325 |
9/1/2038 | 5.57 | % | 805,439 | ||||||||
FNMA POOL 987560 |
8/1/2038 | 6.50 | % | 64,006 | ||||||||
FNMA POOL 988880 |
7/1/2025 | 4.00 | % | 681,539 | ||||||||
FNMA POOL 988895 |
2/1/2026 | 4.00 | % | 254,735 | ||||||||
FNMA POOL 988943 |
8/1/2023 | 4.50 | % | 21,965 | ||||||||
FNMA POOL 992262 |
1/1/2039 | 5.00 | % | 133,820 | ||||||||
FNMA POOL 993579 |
5/1/2039 | 4.00 | % | 85,513 | ||||||||
FNMA POOL 995071 |
8/1/2037 | 5.50 | % | 1,316,480 | ||||||||
FNMA POOL 995072 |
8/1/2038 | 5.50 | % | 2,551,143 | ||||||||
FNMA POOL 995113 |
9/1/2036 | 5.50 | % | 12,740,301 | ||||||||
FNMA POOL 995149 |
10/1/2038 | 6.50 | % | 1,736,853 | ||||||||
FNMA POOL 995153 |
9/1/2036 | 5.50 | % | 1,637,776 | ||||||||
FNMA POOL 995159 |
9/1/2036 | 5.50 | % | 1,180,171 | ||||||||
FNMA POOL 995373 |
2/1/2039 | 4.50 | % | 620,301 | ||||||||
FNMA POOL 995381 |
1/1/2024 | 6.00 | % | 795,010 | ||||||||
FNMA POOL 995527 |
9/1/2023 | 4.50 | % | 488,821 | ||||||||
FNMA POOL 995699 |
5/1/2024 | 4.50 | % | 322,241 | ||||||||
FNMA POOL 995708 |
4/1/2024 | 4.50 | % | 837,874 | ||||||||
FNMA POOL 995753 |
5/1/2024 | 4.50 | % | 283,266 |
- 62 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL 995899 |
2/1/2038 | 6.00 | % | 1,555,675 | ||||||||
FNMA POOL AA0472 |
3/1/2039 | 4.00 | % | 954,517 | ||||||||
FNMA POOL AA1669 |
2/1/2024 | 4.50 | % | 18,259 | ||||||||
FNMA POOL AA2549 |
4/1/2024 | 4.00 | % | 56,536 | ||||||||
FNMA POOL AA2598 |
2/1/2039 | 4.50 | % | 226,141 | ||||||||
FNMA POOL AA2700 |
1/1/2039 | 5.00 | % | 117,368 | ||||||||
FNMA POOL AA3295 |
2/1/2039 | 4.00 | % | 37,266 | ||||||||
FNMA POOL AA3494 |
2/1/2039 | 4.00 | % | 446,968 | ||||||||
FNMA POOL AA4596 |
4/1/2024 | 4.00 | % | 2,176,387 | ||||||||
FNMA POOL AA4598 |
4/1/2024 | 4.50 | % | 810,647 | ||||||||
FNMA POOL AA4749 |
12/1/2025 | 3.50 | % | 9,957,175 | ||||||||
FNMA POOL AA4777 |
12/1/2025 | 3.50 | % | 40,708 | ||||||||
FNMA POOL AA4965 |
3/1/2039 | 4.00 | % | 145,895 | ||||||||
FNMA POOL AA5292 |
4/1/2024 | 4.00 | % | 41,368 | ||||||||
FNMA POOL AA5304 |
4/1/2024 | 4.00 | % | 327,708 | ||||||||
FNMA POOL AA5562 |
6/1/2024 | 4.00 | % | 182,090 | ||||||||
FNMA POOL AA6585 |
5/1/2024 | 4.50 | % | 722,860 | ||||||||
FNMA POOL AA6832 |
5/1/2024 | 4.00 | % | 294,823 | ||||||||
FNMA POOL AA7720 |
8/1/2039 | 4.00 | % | 1,806,789 | ||||||||
FNMA POOL AA9139 |
8/1/2039 | 4.50 | % | 379,880 | ||||||||
FNMA POOL AB0526 |
4/1/2039 | 4.50 | % | 1,672,355 | ||||||||
FNMA POOL AB1066 |
5/1/2025 | 4.00 | % | 699,235 | ||||||||
FNMA POOL AB1228 |
7/1/2040 | 5.00 | % | 186,644 | ||||||||
FNMA POOL AB1243 |
7/1/2025 | 4.00 | % | 19,425 | ||||||||
FNMA POOL AB1460 |
9/1/2025 | 4.00 | % | 826,952 | ||||||||
FNMA POOL AB1501 |
9/1/2040 | 4.00 | % | 469,491 | ||||||||
FNMA POOL AB1600 |
10/1/2025 | 3.50 | % | 267,231 | ||||||||
FNMA POOL AB1609 |
10/1/2025 | 4.00 | % | 175,298 | ||||||||
FNMA POOL AB1842 |
7/1/2025 | 4.00 | % | 2,388,260 | ||||||||
FNMA POOL AB1845 |
11/1/2040 | 4.00 | % | 750,600 | ||||||||
FNMA POOL AB2059 |
1/1/2026 | 3.50 | % | 488,086 | ||||||||
FNMA POOL AB2084 |
1/1/2041 | 4.00 | % | 251,135 | ||||||||
FNMA POOL AB2086 |
1/1/2041 | 4.00 | % | 1,651,371 | ||||||||
FNMA POOL AB2089 |
1/1/2041 | 4.00 | % | 778,917 | ||||||||
FNMA POOL AB2189 |
2/1/2041 | 4.50 | % | 4,483,124 | ||||||||
FNMA POOL AB2309 |
2/1/2026 | 4.00 | % | 2,332,349 | ||||||||
FNMA POOL AB2335 |
2/1/2041 | 4.00 | % | 8,863,884 | ||||||||
FNMA POOL AB2639 |
5/1/2041 | 4.50 | % | 6,410,547 | ||||||||
FNMA POOL AB2640 |
5/1/2041 | 4.50 | % | 11,772,778 | ||||||||
FNMA POOL AB2686 |
3/1/2041 | 4.00 | % | 4,191,486 | ||||||||
FNMA POOL AB2803 |
4/1/2026 | 4.00 | % | 643,648 | ||||||||
FNMA POOL AB3008 |
5/1/2026 | 3.50 | % | 121,468 | ||||||||
FNMA POOL AB3010 |
5/1/2026 | 4.00 | % | 734,184 | ||||||||
FNMA POOL AB3012 |
5/1/2026 | 4.00 | % | 471,238 | ||||||||
FNMA POOL AB3026 |
5/1/2041 | 4.00 | % | 974,772 | ||||||||
FNMA POOL AB3171 |
6/1/2026 | 3.50 | % | 314,002 | ||||||||
FNMA POOL AB3306 |
7/1/2041 | 4.00 | % | 3,957,353 | ||||||||
FNMA POOL AB3391 |
8/1/2041 | 4.50 | % | 12,759,885 | ||||||||
FNMA POOL AB3517 |
9/1/2041 | 4.50 | % | 934,330 | ||||||||
FNMA POOL AB3701 |
10/1/2041 | 4.50 | % | 5,092,828 | ||||||||
FNMA POOL AB3745 |
10/1/2041 | 4.00 | % | 8,314,930 |
- 63 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AB3934 |
11/1/2041 | 3.50 | % | 3,684,059 | ||||||||
FNMA POOL AB3934 |
11/1/2041 | 3.50 | % | 488,813 | ||||||||
FNMA POOL AB3949 |
11/1/2041 | 4.50 | % | 915,059 | ||||||||
FNMA POOL AB4107 |
12/1/2041 | 3.50 | % | 20,619,023 | ||||||||
FNMA POOL AB4112 |
12/1/2041 | 3.50 | % | 58,350,184 | ||||||||
FNMA POOL AC0728 |
8/1/2039 | 5.00 | % | 76,310 | ||||||||
FNMA POOL AC1370 |
8/1/2024 | 4.00 | % | 212,393 | ||||||||
FNMA POOL AC1526 |
9/1/2024 | 4.00 | % | 22,131 | ||||||||
FNMA POOL AC1578 |
8/1/2039 | 4.00 | % | 1,837,524 | ||||||||
FNMA POOL AC1889 |
9/1/2039 | 4.00 | % | 1,051,186 | ||||||||
FNMA POOL AC2953 |
9/1/2039 | 4.50 | % | 950,938 | ||||||||
FNMA POOL AC5354 |
11/1/2024 | 4.50 | % | 708,705 | ||||||||
FNMA POOL AC5746 |
12/1/2024 | 4.00 | % | 682,195 | ||||||||
FNMA POOL AC5860 |
5/1/2025 | 4.00 | % | 305,412 | ||||||||
FNMA POOL AC6720 |
7/1/2025 | 4.00 | % | 250,232 | ||||||||
FNMA POOL AC8596 |
1/1/2025 | 4.00 | % | 32,896 | ||||||||
FNMA POOL AC9731 |
3/1/2025 | 4.00 | % | 904,834 | ||||||||
FNMA POOL AC9733 |
3/1/2025 | 4.00 | % | 961,346 | ||||||||
FNMA POOL AD0296 |
12/1/2036 | 2.62 | % | 698,798 | ||||||||
FNMA POOL AD0452 |
4/1/2021 | 6.00 | % | 3,240,606 | ||||||||
FNMA POOL AD0471 |
1/1/2024 | 5.50 | % | 2,065,927 | ||||||||
FNMA POOL AD0860 |
4/1/2025 | 4.50 | % | 4,217,663 | ||||||||
FNMA POOL AD1612 |
2/1/2025 | 4.50 | % | 5,633,250 | ||||||||
FNMA POOL AD1910 |
11/1/2041 | 3.50 | % | 1,027,398 | ||||||||
FNMA POOL AD2175 |
6/1/2025 | 4.00 | % | 390,905 | ||||||||
FNMA POOL AD2331 |
3/1/2025 | 4.00 | % | 268,912 | ||||||||
FNMA POOL AD2351 |
3/1/2025 | 4.00 | % | 80,770 | ||||||||
FNMA POOL AD3150 |
2/1/2025 | 4.00 | % | 783,926 | ||||||||
FNMA POOL AD3273 |
2/1/2025 | 4.00 | % | 80,794 | ||||||||
FNMA POOL AD3772 |
3/1/2025 | 4.00 | % | 285,544 | ||||||||
FNMA POOL AD3776 |
3/1/2025 | 4.50 | % | 254,240 | ||||||||
FNMA POOL AD3828 |
4/1/2025 | 4.00 | % | 1,070,436 | ||||||||
FNMA POOL AD4011 |
7/1/2025 | 4.00 | % | 31,727 | ||||||||
FNMA POOL AD4178 |
6/1/2040 | 4.50 | % | 2,586,646 | ||||||||
FNMA POOL AD4674 |
5/1/2025 | 4.00 | % | 464,658 | ||||||||
FNMA POOL AD5011 |
8/1/2025 | 4.00 | % | 406,020 | ||||||||
FNMA POOL AD5026 |
9/1/2040 | 4.00 | % | 104,314 | ||||||||
FNMA POOL AD5097 |
11/1/2025 | 3.50 | % | 302,243 | ||||||||
FNMA POOL AD5108 |
12/1/2025 | 3.50 | % | 48,390 | ||||||||
FNMA POOL AD5139 |
3/1/2026 | 4.00 | % | 1,733,573 | ||||||||
FNMA POOL AD5173 |
9/1/2040 | 4.00 | % | 157,936 | ||||||||
FNMA POOL AD5251 |
8/1/2025 | 4.00 | % | 45,651 | ||||||||
FNMA POOL AD5277 |
10/1/2040 | 4.00 | % | 163,677 | ||||||||
FNMA POOL AD5634 |
5/1/2025 | 4.00 | % | 321,650 | ||||||||
FNMA POOL AD5792 |
6/1/2025 | 4.00 | % | 57,482 | ||||||||
FNMA POOL AD6143 |
5/1/2025 | 4.50 | % | 150,004 | ||||||||
FNMA POOL AD6175 |
9/1/2025 | 4.00 | % | 75,062 | ||||||||
FNMA POOL AD6209 |
6/1/2025 | 4.00 | % | 202,350 | ||||||||
FNMA POOL AD6387 |
5/1/2025 | 4.00 | % | 12,903,927 | ||||||||
FNMA POOL AD6510 |
5/1/2040 | 5.00 | % | 100,092 | ||||||||
FNMA POOL AD6930 |
6/1/2025 | 4.00 | % | 45,118 |
- 64 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AD6967 |
6/1/2025 | 4.50 | % | 53,588 | ||||||||
FNMA POOL AD7073 |
6/1/2025 | 4.00 | % | 3,297,428 | ||||||||
FNMA POOL AD7151 |
7/1/2025 | 4.00 | % | 309,056 | ||||||||
FNMA POOL AD7157 |
6/1/2025 | 4.00 | % | 921,917 | ||||||||
FNMA POOL AD7474 |
1/1/2041 | 4.00 | % | 1,995,781 | ||||||||
FNMA POOL AD7499 |
2/1/2026 | 4.00 | % | 966,389 | ||||||||
FNMA POOL AD7507 |
4/1/2026 | 4.00 | % | 450,548 | ||||||||
FNMA POOL AD7551 |
6/1/2025 | 4.00 | % | 3,789,079 | ||||||||
FNMA POOL AD7672 |
9/1/2040 | 4.00 | % | 25,736 | ||||||||
FNMA POOL AD7726 |
7/1/2025 | 4.00 | % | 34,479 | ||||||||
FNMA POOL AD7737 |
7/1/2025 | 4.00 | % | 1,121,888 | ||||||||
FNMA POOL AD7740 |
7/1/2025 | 4.00 | % | 152,375 | ||||||||
FNMA POOL AD7885 |
6/1/2025 | 4.00 | % | 825,052 | ||||||||
FNMA POOL AD8008 |
7/1/2025 | 3.50 | % | 45,279 | ||||||||
FNMA POOL AD8154 |
7/1/2025 | 4.00 | % | 43,613 | ||||||||
FNMA POOL AD8204 |
9/1/2025 | 4.00 | % | 971,726 | ||||||||
FNMA POOL AD8231 |
10/1/2025 | 3.50 | % | 886,365 | ||||||||
FNMA POOL AD8232 |
6/1/2025 | 4.00 | % | 749,501 | ||||||||
FNMA POOL AD8425 |
9/1/2025 | 3.50 | % | 40,165 | ||||||||
FNMA POOL AD8441 |
9/1/2025 | 4.00 | % | 652,130 | ||||||||
FNMA POOL AD8522 |
8/1/2040 | 4.00 | % | 46,119 | ||||||||
FNMA POOL AD8562 |
8/1/2025 | 4.00 | % | 674,857 | ||||||||
FNMA POOL AD8752 |
4/1/2026 | 4.00 | % | 610,941 | ||||||||
FNMA POOL AD9143 |
8/1/2040 | 4.50 | % | 273,657 | ||||||||
FNMA POOL AD9153 |
8/1/2040 | 4.50 | % | 839,152 | ||||||||
FNMA POOL AD9338 |
9/1/2025 | 4.00 | % | 346,584 | ||||||||
FNMA POOL AD9362 |
9/1/2040 | 4.00 | % | 177,691 | ||||||||
FNMA POOL AD9386 |
9/1/2040 | 4.00 | % | 165,522 | ||||||||
FNMA POOL AD9475 |
7/1/2025 | 4.00 | % | 49,592 | ||||||||
FNMA POOL AD9634 |
8/1/2040 | 4.00 | % | 672,739 | ||||||||
FNMA POOL AD9713 |
8/1/2040 | 5.00 | % | 856,080 | ||||||||
FNMA POOL AD9840 |
9/1/2040 | 4.00 | % | 26,523 | ||||||||
FNMA POOL AD9870 |
10/1/2040 | 4.00 | % | 583,795 | ||||||||
FNMA POOL AD9881 |
10/1/2040 | 4.00 | % | 880,116 | ||||||||
FNMA POOL AE0028 |
10/1/2039 | 6.00 | % | 5,351,016 | ||||||||
FNMA POOL AE0081 |
7/1/2024 | 6.00 | % | 1,348,436 | ||||||||
FNMA POOL AE0113 |
7/1/2040 | 4.00 | % | 1,788,446 | ||||||||
FNMA POOL AE0113 |
7/1/2040 | 4.00 | % | 1,959,953 | ||||||||
FNMA POOL AE0375 |
7/1/2025 | 4.00 | % | 5,101,387 | ||||||||
FNMA POOL AE0401 |
9/1/2025 | 4.00 | % | 537,864 | ||||||||
FNMA POOL AE0415 |
7/1/2025 | 4.50 | % | 1,395,978 | ||||||||
FNMA POOL AE0676 |
1/1/2026 | 3.50 | % | 1,082,885 | ||||||||
FNMA POOL AE0803 |
10/1/2040 | 4.50 | % | 38,868,293 | ||||||||
FNMA POOL AE0949 |
2/1/2041 | 4.00 | % | 28,047,681 | ||||||||
FNMA POOL AE0967 |
6/1/2039 | 3.50 | % | 2,421,518 | ||||||||
FNMA POOL AE0981 |
3/1/2041 | 3.50 | % | 2,879,484 | ||||||||
FNMA POOL AE1071 |
8/1/2025 | 4.00 | % | 250,704 | ||||||||
FNMA POOL AE1110 |
10/1/2040 | 4.00 | % | 352,787 | ||||||||
FNMA POOL AE1174 |
7/1/2025 | 4.00 | % | 96,106 | ||||||||
FNMA POOL AE1622 |
10/1/2040 | 4.00 | % | 66,014 | ||||||||
FNMA POOL AE1761 |
9/1/2040 | 4.00 | % | 302,043 |
- 65 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AE1840 |
8/1/2040 | 5.00 | % | 228,813 | ||||||||
FNMA POOL AE1862 |
8/1/2040 | 5.00 | % | 1,392,289 | ||||||||
FNMA POOL AE2116 |
8/1/2040 | 4.00 | % | 156,887 | ||||||||
FNMA POOL AE2123 |
1/1/2026 | 3.50 | % | 172,081 | ||||||||
FNMA POOL AE2144 |
1/1/2041 | 4.00 | % | 43,847 | ||||||||
FNMA POOL AE2482 |
8/1/2040 | 4.00 | % | 30,412 | ||||||||
FNMA POOL AE2544 |
9/1/2040 | 3.50 | % | 439,579 | ||||||||
FNMA POOL AE2978 |
8/1/2025 | 4.00 | % | 37,680,335 | ||||||||
FNMA POOL AE3040 |
9/1/2040 | 4.00 | % | 753,830 | ||||||||
FNMA POOL AE3088 |
9/1/2040 | 4.00 | % | 146,880 | ||||||||
FNMA POOL AE3206 |
10/1/2025 | 4.00 | % | 70,969 | ||||||||
FNMA POOL AE3253 |
9/1/2040 | 4.00 | % | 2,902,735 | ||||||||
FNMA POOL AE3272 |
9/1/2040 | 4.00 | % | 462,094 | ||||||||
FNMA POOL AE3294 |
10/1/2025 | 4.00 | % | 181,687 | ||||||||
FNMA POOL AE3505 |
1/1/2026 | 3.50 | % | 929,424 | ||||||||
FNMA POOL AE3550 |
9/1/2040 | 4.00 | % | 2,908,295 | ||||||||
FNMA POOL AE3775 |
1/1/2041 | 4.00 | % | 138,501 | ||||||||
FNMA POOL AE3809 |
9/1/2025 | 3.50 | % | 121,134 | ||||||||
FNMA POOL AE4003 |
11/1/2025 | 3.50 | % | 281,826 | ||||||||
FNMA POOL AE4083 |
1/1/2041 | 4.00 | % | 349,700 | ||||||||
FNMA POOL AE4115 |
9/1/2040 | 4.00 | % | 1,118,783 | ||||||||
FNMA POOL AE4281 |
9/1/2025 | 3.50 | % | 1,858,994 | ||||||||
FNMA POOL AE4400 |
9/1/2040 | 4.00 | % | 2,434,597 | ||||||||
FNMA POOL AE4449 |
12/1/2040 | 4.00 | % | 1,073,772 | ||||||||
FNMA POOL AE4456 |
2/1/2041 | 4.00 | % | 135,326 | ||||||||
FNMA POOL AE4577 |
6/1/2026 | 4.00 | % | 2,847,527 | ||||||||
FNMA POOL AE4583 |
1/1/2041 | 4.00 | % | 33,630 | ||||||||
FNMA POOL AE4589 |
9/1/2040 | 4.00 | % | 188,349 | ||||||||
FNMA POOL AE4677 |
10/1/2025 | 4.00 | % | 82,735 | ||||||||
FNMA POOL AE4757 |
9/1/2040 | 4.00 | % | 1,797,006 | ||||||||
FNMA POOL AE4818 |
10/1/2040 | 4.00 | % | 779,570 | ||||||||
FNMA POOL AE4877 |
10/1/2025 | 3.50 | % | 3,068,664 | ||||||||
FNMA POOL AE4971 |
11/1/2040 | 4.00 | % | 789,170 | ||||||||
FNMA POOL AE4995 |
11/1/2040 | 4.00 | % | 112,914 | ||||||||
FNMA POOL AE5019 |
12/1/2025 | 4.00 | % | 350,989 | ||||||||
FNMA POOL AE5036 |
12/1/2040 | 4.00 | % | 1,720,735 | ||||||||
FNMA POOL AE5078 |
9/1/2040 | 4.00 | % | 462,778 | ||||||||
FNMA POOL AE5083 |
9/1/2040 | 4.00 | % | 684,729 | ||||||||
FNMA POOL AE5108 |
10/1/2040 | 4.00 | % | 922,734 | ||||||||
FNMA POOL AE5112 |
10/1/2040 | 4.00 | % | 292,695 | ||||||||
FNMA POOL AE5125 |
10/1/2040 | 4.00 | % | 824,553 | ||||||||
FNMA POOL AE5144 |
11/1/2040 | 4.00 | % | 27,359 | ||||||||
FNMA POOL AE5187 |
9/1/2040 | 4.00 | % | 3,308,597 | ||||||||
FNMA POOL AE5287 |
3/1/2024 | 3.50 | % | 108,325 | ||||||||
FNMA POOL AE5434 |
10/1/2040 | 4.00 | % | 208,801 | ||||||||
FNMA POOL AE5487 |
10/1/2025 | 3.50 | % | 1,433,299 | ||||||||
FNMA POOL AE5615 |
11/1/2040 | 4.00 | % | 3,779,609 | ||||||||
FNMA POOL AE5916 |
10/1/2025 | 4.50 | % | 208,393 | ||||||||
FNMA POOL AE6090 |
10/1/2040 | 4.00 | % | 1,006,203 | ||||||||
FNMA POOL AE6386 |
1/1/2041 | 4.00 | % | 8,432,200 | ||||||||
FNMA POOL AE6403 |
10/1/2040 | 4.00 | % | 667,441 |
- 66 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AE6406 |
10/1/2025 | 4.00 | % | 456,347 | ||||||||
FNMA POOL AE6508 |
10/1/2025 | 3.50 | % | 21,123 | ||||||||
FNMA POOL AE6522 |
11/1/2025 | 3.50 | % | 102,823 | ||||||||
FNMA POOL AE6576 |
10/1/2025 | 3.50 | % | 309,096 | ||||||||
FNMA POOL AE6587 |
11/1/2040 | 4.00 | % | 157,973 | ||||||||
FNMA POOL AE6600 |
10/1/2040 | 4.00 | % | 568,824 | ||||||||
FNMA POOL AE6753 |
11/1/2040 | 4.00 | % | 380,252 | ||||||||
FNMA POOL AE6800 |
11/1/2040 | 3.50 | % | 6,072,293 | ||||||||
FNMA POOL AE6895 |
10/1/2040 | 4.00 | % | 54,551 | ||||||||
FNMA POOL AE7005 |
10/1/2040 | 4.00 | % | 1,902,959 | ||||||||
FNMA POOL AE7006 |
10/1/2040 | 4.00 | % | 223,074 | ||||||||
FNMA POOL AE7088 |
12/1/2025 | 4.00 | % | 12,031,126 | ||||||||
FNMA POOL AE7141 |
9/1/2035 | 4.00 | % | 386,243 | ||||||||
FNMA POOL AE7147 |
10/1/2025 | 4.00 | % | 900,776 | ||||||||
FNMA POOL AE7170 |
10/1/2040 | 4.00 | % | 137,274 | ||||||||
FNMA POOL AE7202 |
11/1/2025 | 3.50 | % | 884,209 | ||||||||
FNMA POOL AE7208 |
11/1/2025 | 4.00 | % | 229,939 | ||||||||
FNMA POOL AE7254 |
1/1/2041 | 4.00 | % | 2,026,899 | ||||||||
FNMA POOL AE7262 |
1/1/2026 | 4.00 | % | 255,357 | ||||||||
FNMA POOL AE7266 |
1/1/2041 | 4.00 | % | 2,042,557 | ||||||||
FNMA POOL AE7283 |
10/1/2040 | 4.00 | % | 40,219 | ||||||||
FNMA POOL AE7406 |
11/1/2040 | 4.00 | % | 2,086,618 | ||||||||
FNMA POOL AE7522 |
11/1/2025 | 3.50 | % | 246,856 | ||||||||
FNMA POOL AE7573 |
11/1/2040 | 4.00 | % | 37,371 | ||||||||
FNMA POOL AE7658 |
10/1/2040 | 4.00 | % | 976,513 | ||||||||
FNMA POOL AE7758 |
11/1/2025 | 3.50 | % | 11,701,410 | ||||||||
FNMA POOL AE7806 |
11/1/2040 | 4.00 | % | 655,158 | ||||||||
FNMA POOL AE7816 |
11/1/2040 | 4.00 | % | 258,031 | ||||||||
FNMA POOL AE7832 |
11/1/2025 | 4.00 | % | 1,744,300 | ||||||||
FNMA POOL AE7912 |
11/1/2040 | 4.00 | % | 494,526 | ||||||||
FNMA POOL AE8062 |
11/1/2040 | 4.00 | % | 646,629 | ||||||||
FNMA POOL AE8130 |
10/1/2040 | 4.00 | % | 253,946 | ||||||||
FNMA POOL AE8158 |
8/1/2024 | 4.50 | % | 77,228 | ||||||||
FNMA POOL AE8392 |
11/1/2040 | 3.50 | % | 3,891,594 | ||||||||
FNMA POOL AE8726 |
11/1/2040 | 3.50 | % | 2,842,560 | ||||||||
FNMA POOL AE8740 |
2/1/2041 | 4.00 | % | 1,955,391 | ||||||||
FNMA POOL AE8789 |
12/1/2040 | 3.50 | % | 7,033,061 | ||||||||
FNMA POOL AE8886 |
12/1/2025 | 3.50 | % | 370,401 | ||||||||
FNMA POOL AE9012 |
1/1/2018 | 4.50 | % | 87,312 | ||||||||
FNMA POOL AE9093 |
12/1/2040 | 4.00 | % | 1,148,392 | ||||||||
FNMA POOL AE9178 |
11/1/2040 | 4.00 | % | 318,551 | ||||||||
FNMA POOL AE9234 |
12/1/2025 | 3.50 | % | 78,185 | ||||||||
FNMA POOL AE9259 |
11/1/2040 | 4.00 | % | 887,662 | ||||||||
FNMA POOL AE9262 |
12/1/2040 | 4.00 | % | 862,927 | ||||||||
FNMA POOL AE9263 |
10/1/2040 | 4.00 | % | 799,066 | ||||||||
FNMA POOL AE9285 |
11/1/2040 | 4.00 | % | 462,508 | ||||||||
FNMA POOL AE9300 |
11/1/2025 | 3.50 | % | 512,057 | ||||||||
FNMA POOL AE9313 |
12/1/2040 | 4.00 | % | 145,317 | ||||||||
FNMA POOL AE9405 |
12/1/2025 | 3.50 | % | 497,266 | ||||||||
FNMA POOL AE9664 |
11/1/2025 | 4.00 | % | 33,315 | ||||||||
FNMA POOL AE9755 |
12/1/2040 | 3.50 | % | 31,729,961 |
- 67 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AE9758 |
12/1/2040 | 4.00 | % | 353,219 | ||||||||
FNMA POOL AE9855 |
11/1/2040 | 4.00 | % | 803,324 | ||||||||
FNMA POOL AH0017 |
12/1/2040 | 4.00 | % | 423,297 | ||||||||
FNMA POOL AH0020 |
12/1/2040 | 4.00 | % | 526,978 | ||||||||
FNMA POOL AH0030 |
1/1/2041 | 3.50 | % | 6,591,165 | ||||||||
FNMA POOL AH0032 |
1/1/2041 | 4.00 | % | 4,774,715 | ||||||||
FNMA POOL AH0033 |
12/1/2040 | 4.00 | % | 16,291,086 | ||||||||
FNMA POOL AH0034 |
1/1/2041 | 4.00 | % | 5,100,499 | ||||||||
FNMA POOL AH0055 |
2/1/2041 | 4.50 | % | 5,654,430 | ||||||||
FNMA POOL AH0210 |
12/1/2040 | 4.50 | % | 3,087,608 | ||||||||
FNMA POOL AH0330 |
12/1/2025 | 3.50 | % | 81,896 | ||||||||
FNMA POOL AH0340 |
1/1/2041 | 4.00 | % | 1,353,826 | ||||||||
FNMA POOL AH0345 |
1/1/2026 | 4.00 | % | 1,023,492 | ||||||||
FNMA POOL AH0376 |
12/1/2025 | 3.50 | % | 274,491 | ||||||||
FNMA POOL AH0509 |
12/1/2040 | 3.50 | % | 491,488 | ||||||||
FNMA POOL AH0530 |
12/1/2040 | 4.00 | % | 1,001,499 | ||||||||
FNMA POOL AH0599 |
12/1/2040 | 4.00 | % | 1,449,544 | ||||||||
FNMA POOL AH0827 |
12/1/2025 | 3.50 | % | 633,720 | ||||||||
FNMA POOL AH0844 |
12/1/2025 | 3.50 | % | 67,387 | ||||||||
FNMA POOL AH0845 |
12/1/2025 | 4.00 | % | 443,260 | ||||||||
FNMA POOL AH0857 |
12/1/2040 | 4.00 | % | 631,350 | ||||||||
FNMA POOL AH0921 |
12/1/2040 | 4.00 | % | 920,085 | ||||||||
FNMA POOL AH0946 |
12/1/2040 | 4.00 | % | 2,360,799 | ||||||||
FNMA POOL AH0969 |
12/1/2025 | 3.50 | % | 1,425,197 | ||||||||
FNMA POOL AH0994 |
11/1/2040 | 4.00 | % | 597,459 | ||||||||
FNMA POOL AH1016 |
12/1/2040 | 4.00 | % | 480,270 | ||||||||
FNMA POOL AH1097 |
12/1/2025 | 4.00 | % | 1,870,982 | ||||||||
FNMA POOL AH1111 |
12/1/2040 | 4.00 | % | 204,453 | ||||||||
FNMA POOL AH1115 |
1/1/2041 | 4.50 | % | 5,953,014 | ||||||||
FNMA POOL AH1122 |
12/1/2040 | 4.00 | % | 899,110 | ||||||||
FNMA POOL AH1130 |
1/1/2041 | 4.00 | % | 2,806,978 | ||||||||
FNMA POOL AH1190 |
1/1/2041 | 4.00 | % | 592,517 | ||||||||
FNMA POOL AH1255 |
1/1/2041 | 4.00 | % | 1,211,161 | ||||||||
FNMA POOL AH1261 |
1/1/2041 | 4.00 | % | 152,887 | ||||||||
FNMA POOL AH1298 |
11/1/2025 | 3.50 | % | 795,370 | ||||||||
FNMA POOL AH1315 |
1/1/2041 | 4.00 | % | 21,950,332 | ||||||||
FNMA POOL AH1318 |
1/1/2026 | 3.50 | % | 1,018,897 | ||||||||
FNMA POOL AH1321 |
1/1/2041 | 4.00 | % | 195,207 | ||||||||
FNMA POOL AH1323 |
1/1/2041 | 4.00 | % | 1,471,606 | ||||||||
FNMA POOL AH1410 |
1/1/2041 | 4.00 | % | 569,727 | ||||||||
FNMA POOL AH1508 |
12/1/2040 | 4.50 | % | 3,202,668 | ||||||||
FNMA POOL AH1560 |
1/1/2041 | 4.00 | % | 2,020,889 | ||||||||
FNMA POOL AH1699 |
11/1/2041 | 3.50 | % | 466,820 | ||||||||
FNMA POOL AH1886 |
1/1/2026 | 3.50 | % | 1,580,014 | ||||||||
FNMA POOL AH1893 |
2/1/2026 | 3.50 | % | 452,861 | ||||||||
FNMA POOL AH1909 |
4/1/2026 | 4.00 | % | 71,376 | ||||||||
FNMA POOL AH1912 |
4/1/2026 | 4.00 | % | 1,011,093 | ||||||||
FNMA POOL AH1920 |
5/1/2026 | 4.00 | % | 473,356 | ||||||||
FNMA POOL AH1921 |
5/1/2026 | 3.50 | % | 94,390 | ||||||||
FNMA POOL AH2080 |
12/1/2025 | 3.50 | % | 865,847 | ||||||||
FNMA POOL AH2235 |
12/1/2025 | 3.50 | % | 660,944 |
- 68 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AH2399 |
1/1/2041 | 4.00 | % | 924,743 | ||||||||
FNMA POOL AH2531 |
1/1/2026 | 3.50 | % | 219,957 | ||||||||
FNMA POOL AH2666 |
1/1/2026 | 4.00 | % | 302,629 | ||||||||
FNMA POOL AH2667 |
1/1/2026 | 4.00 | % | 162,014 | ||||||||
FNMA POOL AH2725 |
1/1/2041 | 4.00 | % | 573,404 | ||||||||
FNMA POOL AH2793 |
1/1/2026 | 3.50 | % | 488,781 | ||||||||
FNMA POOL AH2849 |
1/1/2026 | 3.50 | % | 486,029 | ||||||||
FNMA POOL AH2850 |
1/1/2026 | 3.50 | % | 1,802,873 | ||||||||
FNMA POOL AH2851 |
1/1/2026 | 4.00 | % | 318,739 | ||||||||
FNMA POOL AH2857 |
1/1/2026 | 3.50 | % | 1,179,303 | ||||||||
FNMA POOL AH3197 |
1/1/2026 | 4.00 | % | 29,083 | ||||||||
FNMA POOL AH3203 |
1/1/2041 | 4.00 | % | 733,515 | ||||||||
FNMA POOL AH3235 |
2/1/2026 | 3.50 | % | 487,552 | ||||||||
FNMA POOL AH3355 |
1/1/2026 | 4.50 | % | 206,800 | ||||||||
FNMA POOL AH3365 |
2/1/2041 | 4.00 | % | 520,121 | ||||||||
FNMA POOL AH3394 |
1/1/2041 | 4.00 | % | 2,074,903 | ||||||||
FNMA POOL AH3431 |
1/1/2026 | 3.50 | % | 1,887,452 | ||||||||
FNMA POOL AH3569 |
1/1/2026 | 3.50 | % | 499,506 | ||||||||
FNMA POOL AH3586 |
1/1/2041 | 4.00 | % | 1,303,517 | ||||||||
FNMA POOL AH3622 |
1/1/2026 | 4.00 | % | 4,497,188 | ||||||||
FNMA POOL AH3769 |
2/1/2026 | 3.50 | % | 262,385 | ||||||||
FNMA POOL AH3781 |
2/1/2041 | 4.00 | % | 254,993 | ||||||||
FNMA POOL AH3924 |
1/1/2026 | 3.50 | % | 23,335,645 | ||||||||
FNMA POOL AH4058 |
1/1/2026 | 3.50 | % | 30,345 | ||||||||
FNMA POOL AH4142 |
4/1/2026 | 4.00 | % | 35,153 | ||||||||
FNMA POOL AH4296 |
2/1/2041 | 4.00 | % | 290,728 | ||||||||
FNMA POOL AH4307 |
2/1/2041 | 4.50 | % | 7,204,531 | ||||||||
FNMA POOL AH4346 |
2/1/2026 | 3.50 | % | 1,069,604 | ||||||||
FNMA POOL AH4375 |
2/1/2041 | 4.00 | % | 1,022,079 | ||||||||
FNMA POOL AH4383 |
3/1/2026 | 3.50 | % | 3,142,075 | ||||||||
FNMA POOL AH4429 |
2/1/2041 | 4.00 | % | 102,577 | ||||||||
FNMA POOL AH4452 |
1/1/2026 | 4.00 | % | 918,092 | ||||||||
FNMA POOL AH4467 |
1/1/2041 | 4.00 | % | 402,822 | ||||||||
FNMA POOL AH4471 |
2/1/2041 | 4.00 | % | 253,705 | ||||||||
FNMA POOL AH4521 |
2/1/2041 | 4.00 | % | 73,082 | ||||||||
FNMA POOL AH4582 |
3/1/2041 | 4.00 | % | 618,218 | ||||||||
FNMA POOL AH4597 |
4/1/2026 | 4.00 | % | 43,501 | ||||||||
FNMA POOL AH4626 |
2/1/2026 | 3.50 | % | 306,239 | ||||||||
FNMA POOL AH4633 |
1/1/2041 | 4.00 | % | 1,413,383 | ||||||||
FNMA POOL AH4654 |
2/1/2026 | 4.00 | % | 318,462 | ||||||||
FNMA POOL AH4657 |
2/1/2026 | 4.00 | % | 330,644 | ||||||||
FNMA POOL AH4668 |
2/1/2026 | 3.50 | % | 7,804,634 | ||||||||
FNMA POOL AH4717 |
4/1/2026 | 4.00 | % | 285,959 | ||||||||
FNMA POOL AH4738 |
1/1/2041 | 4.00 | % | 115,254 | ||||||||
FNMA POOL AH4749 |
1/1/2026 | 4.00 | % | 572,387 | ||||||||
FNMA POOL AH4751 |
1/1/2041 | 4.00 | % | 50,322 | ||||||||
FNMA POOL AH4763 |
1/1/2041 | 4.00 | % | 1,519,982 | ||||||||
FNMA POOL AH4792 |
2/1/2041 | 4.00 | % | 14,514,019 | ||||||||
FNMA POOL AH4828 |
2/1/2026 | 4.00 | % | 106,168 | ||||||||
FNMA POOL AH4874 |
2/1/2041 | 4.00 | % | 579,092 | ||||||||
FNMA POOL AH4875 |
2/1/2026 | 3.50 | % | 495,127 |
- 69 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AH5049 |
3/1/2026 | 3.50 | % | 53,694 | ||||||||
FNMA POOL AH5092 |
3/1/2041 | 4.00 | % | 739,010 | ||||||||
FNMA POOL AH5290 |
1/1/2026 | 3.50 | % | 218,580 | ||||||||
FNMA POOL AH5510 |
1/1/2026 | 3.50 | % | 698,766 | ||||||||
FNMA POOL AH5568 |
2/1/2041 | 3.50 | % | 4,838,053 | ||||||||
FNMA POOL AH5574 |
2/1/2041 | 4.00 | % | 25,684,901 | ||||||||
FNMA POOL AH5575 |
2/1/2041 | 4.00 | % | 45,707 | ||||||||
FNMA POOL AH5616 |
2/1/2026 | 3.50 | % | 3,537,619 | ||||||||
FNMA POOL AH5620 |
2/1/2026 | 4.00 | % | 1,509,141 | ||||||||
FNMA POOL AH5937 |
2/1/2041 | 3.50 | % | 1,932,577 | ||||||||
FNMA POOL AH5998 |
3/1/2026 | 4.00 | % | 658,176 | ||||||||
FNMA POOL AH6065 |
2/1/2026 | 4.00 | % | 878,745 | ||||||||
FNMA POOL AH6166 |
2/1/2026 | 4.00 | % | 515,521 | ||||||||
FNMA POOL AH6212 |
2/1/2026 | 4.00 | % | 48,007 | ||||||||
FNMA POOL AH6242 |
4/1/2026 | 4.00 | % | 304,333 | ||||||||
FNMA POOL AH6297 |
5/1/2026 | 3.50 | % | 106,023 | ||||||||
FNMA POOL AH6316 |
2/1/2026 | 4.00 | % | 42,983 | ||||||||
FNMA POOL AH6341 |
4/1/2026 | 4.00 | % | 515,091 | ||||||||
FNMA POOL AH6454 |
2/1/2026 | 4.00 | % | 204,665 | ||||||||
FNMA POOL AH6455 |
3/1/2041 | 3.50 | % | 1,726,975 | ||||||||
FNMA POOL AH6457 |
3/1/2041 | 4.00 | % | 505,874 | ||||||||
FNMA POOL AH6484 |
3/1/2041 | 3.50 | % | 6,164,831 | ||||||||
FNMA POOL AH6516 |
4/1/2026 | 4.00 | % | 4,822,184 | ||||||||
FNMA POOL AH6593 |
2/1/2026 | 3.50 | % | 592,750 | ||||||||
FNMA POOL AH6610 |
3/1/2026 | 4.00 | % | 738,908 | ||||||||
FNMA POOL AH6613 |
3/1/2026 | 4.00 | % | 844,029 | ||||||||
FNMA POOL AH6655 |
2/1/2041 | 4.00 | % | 398,731 | ||||||||
FNMA POOL AH6783 |
3/1/2041 | 4.00 | % | 5,849,034 | ||||||||
FNMA POOL AH6822 |
3/1/2026 | 3.50 | % | 997,246 | ||||||||
FNMA POOL AH6827 |
3/1/2026 | 4.00 | % | 73,501 | ||||||||
FNMA POOL AH6937 |
2/1/2026 | 4.00 | % | 540,103 | ||||||||
FNMA POOL AH6940 |
2/1/2026 | 3.50 | % | 76,114 | ||||||||
FNMA POOL AH6944 |
2/1/2026 | 4.00 | % | 1,280,228 | ||||||||
FNMA POOL AH6953 |
2/1/2041 | 4.00 | % | 5,251,403 | ||||||||
FNMA POOL AH6977 |
1/1/2026 | 4.00 | % | 48,294 | ||||||||
FNMA POOL AH7006 |
3/1/2041 | 3.50 | % | 10,871,165 | ||||||||
FNMA POOL AH7007 |
3/1/2041 | 4.00 | % | 107,398 | ||||||||
FNMA POOL AH7185 |
2/1/2026 | 3.50 | % | 518,154 | ||||||||
FNMA POOL AH7204 |
3/1/2041 | 4.00 | % | 3,731,603 | ||||||||
FNMA POOL AH7283 |
3/1/2041 | 4.00 | % | 205,068 | ||||||||
FNMA POOL AH7284 |
3/1/2041 | 4.00 | % | 1,696,839 | ||||||||
FNMA POOL AH7429 |
8/1/2026 | 3.50 | % | 270,940 | ||||||||
FNMA POOL AH7542 |
2/1/2026 | 4.00 | % | 149,439 | ||||||||
FNMA POOL AH7700 |
3/1/2026 | 4.00 | % | 469,857 | ||||||||
FNMA POOL AH7709 |
3/1/2026 | 4.00 | % | 315,667 | ||||||||
FNMA POOL AH7714 |
4/1/2026 | 4.00 | % | 356,527 | ||||||||
FNMA POOL AH7821 |
4/1/2041 | 4.50 | % | 2,071,174 | ||||||||
FNMA POOL AH8022 |
4/1/2041 | 4.00 | % | 2,757,829 | ||||||||
FNMA POOL AH8061 |
6/1/2026 | 4.00 | % | 582,280 | ||||||||
FNMA POOL AH8112 |
3/1/2026 | 3.50 | % | 229,848 | ||||||||
FNMA POOL AH8113 |
3/1/2026 | 4.00 | % | 1,395,807 |
- 70 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AH8125 |
4/1/2026 | 3.50 | % | 198,280 | ||||||||
FNMA POOL AH8351 |
3/1/2041 | 4.00 | % | 4,075,679 | ||||||||
FNMA POOL AH8375 |
3/1/2026 | 4.00 | % | 81,471 | ||||||||
FNMA POOL AH8468 |
4/1/2041 | 4.50 | % | 16,371,372 | ||||||||
FNMA POOL AH8485 |
3/1/2026 | 4.00 | % | 1,679,363 | ||||||||
FNMA POOL AH8565 |
3/1/2041 | 3.50 | % | 5,960,315 | ||||||||
FNMA POOL AH8653 |
4/1/2026 | 3.50 | % | 864,513 | ||||||||
FNMA POOL AH8654 |
4/1/2026 | 4.00 | % | 1,530,943 | ||||||||
FNMA POOL AH8812 |
3/1/2026 | 4.00 | % | 275,206 | ||||||||
FNMA POOL AH9005 |
3/1/2026 | 4.00 | % | 103,617 | ||||||||
FNMA POOL AH9034 |
3/1/2026 | 4.00 | % | 3,074,942 | ||||||||
FNMA POOL AH9052 |
4/1/2041 | 4.00 | % | 285,327 | ||||||||
FNMA POOL AH9175 |
5/1/2026 | 4.00 | % | 30,455 | ||||||||
FNMA POOL AH9180 |
5/1/2041 | 4.00 | % | 826,158 | ||||||||
FNMA POOL AH9240 |
3/1/2026 | 4.00 | % | 417,721 | ||||||||
FNMA POOL AH9250 |
3/1/2026 | 4.00 | % | 51,513 | ||||||||
FNMA POOL AH9283 |
3/1/2026 | 4.00 | % | 256,002 | ||||||||
FNMA POOL AH9372 |
4/1/2041 | 4.00 | % | 2,147,248 | ||||||||
FNMA POOL AH9391 |
3/1/2026 | 4.00 | % | 89,444 | ||||||||
FNMA POOL AH9537 |
5/1/2026 | 4.00 | % | 337,961 | ||||||||
FNMA POOL AH9664 |
4/1/2041 | 4.00 | % | 681,655 | ||||||||
FNMA POOL AH9865 |
4/1/2041 | 4.50 | % | 663,738 | ||||||||
FNMA POOL AH9910 |
4/1/2041 | 4.00 | % | 1,549,092 | ||||||||
FNMA POOL AI0038 |
7/1/2041 | 4.00 | % | 1,363,016 | ||||||||
FNMA POOL AI0055 |
7/1/2041 | 4.00 | % | 241,287 | ||||||||
FNMA POOL AI0058 |
7/1/2041 | 4.00 | % | 3,805,622 | ||||||||
FNMA POOL AI0305 |
8/1/2041 | 4.00 | % | 844,947 | ||||||||
FNMA POOL AI0313 |
8/1/2041 | 4.00 | % | 283,774 | ||||||||
FNMA POOL AI0383 |
4/1/2026 | 4.00 | % | 712,205 | ||||||||
FNMA POOL AI0432 |
6/1/2026 | 3.50 | % | 161,998 | ||||||||
FNMA POOL AI0502 |
4/1/2026 | 4.00 | % | 101,820 | ||||||||
FNMA POOL AI0511 |
4/1/2041 | 5.00 | % | 307,753 | ||||||||
FNMA POOL AI0527 |
4/1/2026 | 3.50 | % | 861,776 | ||||||||
FNMA POOL AI0811 |
8/1/2041 | 4.00 | % | 324,718 | ||||||||
FNMA POOL AI0876 |
4/1/2041 | 4.50 | % | 12,675,834 | ||||||||
FNMA POOL AI0892 |
4/1/2026 | 3.50 | % | 312,594 | ||||||||
FNMA POOL AI0893 |
4/1/2026 | 4.00 | % | 816,414 | ||||||||
FNMA POOL AI0895 |
4/1/2041 | 4.00 | % | 2,158,945 | ||||||||
FNMA POOL AI0900 |
4/1/2041 | 4.00 | % | 407,273 | ||||||||
FNMA POOL AI1051 |
6/1/2026 | 4.00 | % | 3,043,984 | ||||||||
FNMA POOL AI1109 |
4/1/2026 | 4.00 | % | 1,106,854 | ||||||||
FNMA POOL AI1115 |
5/1/2026 | 4.00 | % | 337,476 | ||||||||
FNMA POOL AI1156 |
4/1/2041 | 4.00 | % | 3,470,869 | ||||||||
FNMA POOL AI1242 |
4/1/2026 | 3.50 | % | 1,081,463 | ||||||||
FNMA POOL AI1250 |
4/1/2026 | 4.00 | % | 3,596,210 | ||||||||
FNMA POOL AI1277 |
5/1/2026 | 3.50 | % | 207,947 | ||||||||
FNMA POOL AI1853 |
5/1/2041 | 4.00 | % | 1,020,468 | ||||||||
FNMA POOL AI1863 |
5/1/2041 | 5.00 | % | 634,537 | ||||||||
FNMA POOL AI1881 |
5/1/2041 | 4.00 | % | 153,346 | ||||||||
FNMA POOL AI1892 |
5/1/2041 | 5.00 | % | 3,247,747 | ||||||||
FNMA POOL AI1927 |
4/1/2026 | 4.00 | % | 618,649 |
- 71 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AI2091 |
5/1/2026 | 3.50 | % | 197,310 | ||||||||
FNMA POOL AI2093 |
5/1/2041 | 4.00 | % | 3,074,363 | ||||||||
FNMA POOL AI2095 |
5/1/2026 | 4.00 | % | 5,834,018 | ||||||||
FNMA POOL AI2299 |
5/1/2041 | 4.50 | % | 6,394,029 | ||||||||
FNMA POOL AI2433 |
5/1/2041 | 5.00 | % | 634,834 | ||||||||
FNMA POOL AI2443 |
5/1/2041 | 5.00 | % | 426,613 | ||||||||
FNMA POOL AI2462 |
5/1/2041 | 5.00 | % | 409,989 | ||||||||
FNMA POOL AI2737 |
5/1/2041 | 5.00 | % | 104,374 | ||||||||
FNMA POOL AI2972 |
6/1/2026 | 4.00 | % | 321,659 | ||||||||
FNMA POOL AI3398 |
5/1/2026 | 4.00 | % | 665,854 | ||||||||
FNMA POOL AI3435 |
5/1/2026 | 4.00 | % | 6,379,946 | ||||||||
FNMA POOL AI3445 |
5/1/2026 | 3.50 | % | 474,050 | ||||||||
FNMA POOL AI3517 |
5/1/2026 | 4.00 | % | 282,493 | ||||||||
FNMA POOL AI3793 |
5/1/2026 | 4.00 | % | 222,767 | ||||||||
FNMA POOL AI3893 |
8/1/2041 | 4.00 | % | 86,892 | ||||||||
FNMA POOL AI4261 |
6/1/2041 | 5.00 | % | 324,324 | ||||||||
FNMA POOL AI4617 |
8/1/2041 | 4.00 | % | 2,125,216 | ||||||||
FNMA POOL AI4809 |
6/1/2041 | 4.00 | % | 360,644 | ||||||||
FNMA POOL AI4896 |
6/1/2026 | 4.00 | % | 242,785 | ||||||||
FNMA POOL AI5076 |
7/1/2041 | 4.00 | % | 316,732 | ||||||||
FNMA POOL AI5089 |
8/1/2041 | 4.00 | % | 2,499,540 | ||||||||
FNMA POOL AI5130 |
9/1/2026 | 3.50 | % | 104,145 | ||||||||
FNMA POOL AI5327 |
7/1/2041 | 4.00 | % | 4,183,910 | ||||||||
FNMA POOL AI5329 |
7/1/2041 | 4.00 | % | 2,733,747 | ||||||||
FNMA POOL AI5888 |
7/1/2041 | 4.00 | % | 3,355,211 | ||||||||
FNMA POOL AI6875 |
8/1/2041 | 4.00 | % | 417,420 | ||||||||
FNMA POOL AI7119 |
8/1/2041 | 4.00 | % | 1,399,960 | ||||||||
FNMA POOL AI7253 |
8/1/2041 | 4.00 | % | 596,456 | ||||||||
FNMA POOL AI7517 |
7/1/2041 | 4.00 | % | 1,888,100 | ||||||||
FNMA POOL AI7537 |
7/1/2041 | 4.50 | % | 1,704,484 | ||||||||
FNMA POOL AI7683 |
7/1/2026 | 4.00 | % | 408,360 | ||||||||
FNMA POOL AI7730 |
8/1/2026 | 3.50 | % | 30,958 | ||||||||
FNMA POOL AI7782 |
7/1/2041 | 4.50 | % | 5,981,489 | ||||||||
FNMA POOL AI7800 |
7/1/2041 | 4.50 | % | 1,154,964 | ||||||||
FNMA POOL AI8126 |
7/1/2041 | 4.00 | % | 46,399 | ||||||||
FNMA POOL AI8154 |
8/1/2041 | 4.00 | % | 1,700,298 | ||||||||
FNMA POOL AI8186 |
8/1/2041 | 4.00 | % | 31,535,413 | ||||||||
FNMA POOL AI8218 |
8/1/2041 | 4.00 | % | 82,381 | ||||||||
FNMA POOL AI8713 |
8/1/2041 | 4.00 | % | 3,818,766 | ||||||||
FNMA POOL AI8873 |
8/1/2041 | 4.00 | % | 2,427,218 | ||||||||
FNMA POOL AI8882 |
8/1/2041 | 4.00 | % | 772,358 | ||||||||
FNMA POOL AI9940 |
9/1/2041 | 5.00 | % | 2,085,589 | ||||||||
FNMA POOL AJ1414 |
9/1/2041 | 4.50 | % | 2,138,217 | ||||||||
FNMA POOL AJ4046 |
10/1/2041 | 4.00 | % | 14,307,393 | ||||||||
FNMA POOL AJ4163 |
11/1/2041 | 3.50 | % | 8,733,050 | ||||||||
FNMA POOL AJ5304 |
11/1/2041 | 4.00 | % | 13,523,803 | ||||||||
FNMA POOL AJ5927 |
11/1/2041 | 3.50 | % | 6,576,621 | ||||||||
FNMA POOL AJ5930 |
12/1/2041 | 3.50 | % | 2,774,636 | ||||||||
FNMA POOL AJ6935 |
11/1/2026 | 3.50 | % | 5,414,794 | ||||||||
FNMA POOL AL0007 |
12/1/2034 | 5.00 | % | 5,376,973 | ||||||||
FNMA POOL AL0109 |
1/1/2026 | 4.00 | % | 231,844 |
- 72 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNMA POOL AL0215 |
4/1/2041 | 4.50 | % | 5,082,669 | ||||||||
FNMA POOL AL0253 |
3/1/2026 | 4.00 | % | 5,218,176 | ||||||||
FNMA POOL AL0476 |
11/1/2040 | 5.00 | % | 2,546,402 | ||||||||
FNMA POOL AL0484 |
5/1/2040 | 5.50 | % | 3,455,028 | ||||||||
FNMA POOL AL0496 |
8/1/2024 | 4.50 | % | 1,740,444 | ||||||||
FNMA POOL AL0533 |
7/1/2041 | 3.24 | % | 6,700,986 | ||||||||
FNMA POOL AL0566 |
7/1/2041 | 4.50 | % | 6,482,653 | ||||||||
FNMA POOL AL0616 |
7/1/2041 | 4.50 | % | 735,172 | ||||||||
FNMA POOL AL0814 |
6/1/2040 | 6.50 | % | 7,973,763 | ||||||||
FNMA POOL AL0885 |
6/1/2039 | 6.50 | % | 6,621,688 | ||||||||
FNMA POOL AL0886 |
10/1/2038 | 6.50 | % | 6,550,849 | ||||||||
FNMA POOL AL0998 |
10/1/2041 | 4.50 | % | 2,240,849 | ||||||||
FNMA POOL AL1051 |
9/1/2041 | 4.50 | % | 2,078,639 | ||||||||
FNMA POOL AL1176 |
10/1/2039 | 6.50 | % | 9,850,810 | ||||||||
FNMA POOL MA0006 |
3/1/2039 | 4.00 | % | 53,500 | ||||||||
FNMA POOL MA0024 |
4/1/2024 | 4.50 | % | 13,723 | ||||||||
FNMA POOL MA0043 |
4/1/2024 | 4.00 | % | 185,211 | ||||||||
FNMA POOL MA0172 |
9/1/2024 | 4.00 | % | 335,496 | ||||||||
FNMA POOL MA0243 |
11/1/2029 | 5.00 | % | 2,353,695 | ||||||||
FNMA POOL MA0561 |
11/1/2040 | 4.00 | % | 586,593 | ||||||||
FNMA POOL MA0574 |
11/1/2025 | 4.00 | % | 75,601 | ||||||||
FNMA POOL MA0583 |
12/1/2040 | 4.00 | % | 31,606 | ||||||||
FNMA POOL MA0629 |
1/1/2021 | 3.50 | % | 156,097 | ||||||||
FNMA POOL MA0648 |
2/1/2026 | 3.50 | % | 4,080,148 | ||||||||
FNMA POOL MA0649 |
2/1/2026 | 4.00 | % | 168,099 | ||||||||
FNMA POOL MA0694 |
4/1/2026 | 4.00 | % | 63,620 | ||||||||
FNMA POOL MA0706 |
4/1/2031 | 4.50 | % | 1,073,725 | ||||||||
FNMA POOL MA0732 |
5/1/2026 | 4.00 | % | 7,295,956 | ||||||||
FNMA POOL MA0734 |
5/1/2031 | 4.50 | % | 3,145,757 | ||||||||
FNMA POOL MA0765 |
6/1/2026 | 4.00 | % | 711,154 | ||||||||
FNMA POOL MA0775 |
6/1/2041 | 4.00 | % | 2,275,204 | ||||||||
FNMA POOL MA0776 |
6/1/2031 | 4.50 | % | 1,081,943 | ||||||||
FNMA POOL MA0776 |
6/1/2031 | 4.50 | % | 2,065,517 | ||||||||
FNMA POOL MA0799 |
7/1/2026 | 4.00 | % | 328,863 | ||||||||
FNMA POOL MA0806 |
7/1/2026 | 3.50 | % | 581,218 | ||||||||
FNMA POOL MA0817 |
8/1/2041 | 4.00 | % | 3,057,669 | ||||||||
FNMA POOL MA0836 |
8/1/2026 | 3.50 | % | 130,109 | ||||||||
FNMA POOL MA0884 |
10/1/2026 | 3.50 | % | 497,961 | ||||||||
FNMA POOL MC0377 |
10/1/2040 | 4.00 | % | 143,085 | ||||||||
FNR 2003 21 OU 3/33 FIXED 5.5 |
5/25/2033 | 5.50 | % | 598,418 | ||||||||
FNR 2004 81 KD 07/18 FIXED 4.5 |
7/25/2018 | 4.50 | % | 1,570,121 | ||||||||
FNR 2006 113 NB 09/30 FIXED 5.5 |
9/25/2030 | 5.50 | % | 4,610,562 | ||||||||
FNR 2006 60 CO SER 2006 63 CL QE |
11/25/2032 | 5.50 | % | 1,870,536 | ||||||||
FNR 2006 60 CO SER 2006 64 CL PB |
9/25/2033 | 5.50 | % | 2,290,943 | ||||||||
FNR 2006 60 CO SER 2006 CL AB |
6/25/2016 | 6.00 | % | 26,900 | ||||||||
FNR 2006 85 VM 6/17 FIXED 6.5 |
6/25/2017 | 6.50 | % | 537,878 | ||||||||
FNR 2007 59 AQ 07/35 FIXED 5.75 |
7/25/2035 | 5.75 | % | 1,833,535 | ||||||||
FNR 2009 29 LA 05/39 VAR |
5/25/2039 | 4.26 | % | 2,985,116 | ||||||||
FNR 2009 5 A SER 2008 80 CL ME |
5/25/2032 | 5.00 | % | 739,894 | ||||||||
FNR 2009 62 HJ 05/39 FIXED 6 |
5/25/2039 | 6.00 | % | 2,698,636 | ||||||||
FNR 2010 110 AE 11/18 FIXED 9.75 |
11/25/2018 | 9.75 | % | 3,819,851 |
- 73 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FNR 2010 111 AE 04/38 FIXED 5.5 |
4/25/2038 | 5.50 | % | 2,206,369 | ||||||||
FNR 2010 19 VA 02/21 FIXED 5 |
2/25/2021 | 5.00 | % | 2,840,680 | ||||||||
FNR 2010 64 DM 06/40 FIXED 5 |
6/25/2040 | 5.00 | % | 1,854,412 | ||||||||
FNR 2010 64 EH 10/35 FIXED 5 |
10/25/2035 | 5.00 | % | 1,167,081 | ||||||||
FNR 2011 15 AB 08/19 FIXED 9.75 |
8/25/2019 | 9.75 | % | 1,297,713 | ||||||||
FNW 2003 W1 1A1 12/42 VAR |
12/25/2042 | 6.35 | % | 302,122 | ||||||||
FORD CREDIT AUTO OWNER TRUST FORDO 2008 A A4 |
10/15/2012 | 4.37 | % | 22,101 | ||||||||
FORD CREDIT AUTO OWNER TRUST FORDO 2008 C A4A |
4/15/2013 | 5.16 | % | 493,882 | ||||||||
FORD CREDIT AUTO OWNER TRUST FORDO 2009 A A4 |
5/15/2014 | 6.07 | % | 9,718,097 | ||||||||
FORD CREDIT AUTO OWNER TRUST FORDO 2009 B A4 |
7/15/2014 | 4.50 | % | 2,315,576 | ||||||||
FORD CREDIT AUTO OWNER TRUST FORDO 2011 A A3 |
1/15/2015 | 0.97 | % | 711,493 | ||||||||
FORD CREDIT AUTO OWNER TRUST FORDO 2011 A A4 |
5/15/2016 | 1.65 | % | 1,012,467 | ||||||||
FOREST LABORATORIES INC COMMON STOCK USD.1 |
4,936,919 | |||||||||||
FOREST LABORATORIES INC COMMON STOCK USD.1 |
1,247,620 | |||||||||||
FORTINET INC COMMON STOCK USD.001 |
536,919 | |||||||||||
FORTUM OYJ COMMON STOCK EUR3.4 |
487,276 | |||||||||||
FORTUNE BRANDS HOME + SECURI COMMON STOCK USD.01 |
963,898 | |||||||||||
FOSSIL INC COMMON STOCK USD.01 |
570,519 | |||||||||||
FRANCE TELECOM SR UNSECURED 07/14 4.375 |
7/8/2014 | 4.38 | % | 792,239 | ||||||||
FRANCE TELECOM SR UNSECURED 07/14 4.375 |
7/8/2014 | 4.38 | % | 6,021,018 | ||||||||
FRANCE TELECOM SR UNSECURED 09/15 2.125 |
9/16/2015 | 2.13 | % | 411,150 | ||||||||
FRANKLIN RESOURCES INC COMMON STOCK USD.1 |
1,608,044 | |||||||||||
FRAPORT AG COMMON STOCK NPV |
3,492,543 | |||||||||||
FRED OLSEN ENERGY ASA COMMON STOCK NOK20. |
134,720 | |||||||||||
FREDDIE MAC 10/13 0.5 |
10/15/2013 | 0.50 | % | 2,281,577 | ||||||||
FREDDIE MAC DISCOUNT NT 01/12 ZCP |
1/24/2012 | 0.01 | % | 2,849,966 | ||||||||
FREDDIE MAC DISCOUNT NT DISCOUNT NOT 01/12 0.00000 |
1/9/2012 | 0.01 | % | 799,998 | ||||||||
FREDDIE MAC DISCOUNT NT DISCOUNT NOT 01/12 0.00000 |
1/11/2012 | 0.01 | % | 1,999,992 | ||||||||
FREDDIE MAC DISCOUNT NT DISCOUNT NOT 02/12 0.00000 |
2/21/2012 | 0.01 | % | 3,499,906 | ||||||||
FREDDIE MAC DISCOUNT NT DISCOUNT NOT 06/12 0.00000 |
6/5/2012 | 0.01 | % | 6,816,749 | ||||||||
FREDDIE MAC FHR 3209 EG |
8/15/2020 | 4.50 | % | 1,653,222 | ||||||||
FREDDIE MAC NOTES 01/13 1.375 |
1/9/2013 | 1.38 | % | 1,426,266 | ||||||||
FREDDIE MAC NOTES 01/13 5.26 |
1/30/2013 | 5.26 | % | 1,183,408 | ||||||||
FREDDIE MAC NOTES 01/14 5. |
1/30/2014 | 5.00 | % | 9,042,879 | ||||||||
FREDDIE MAC NOTES 01/16 4.75 |
1/19/2016 | 4.75 | % | 10,240,693 | ||||||||
FREDDIE MAC NOTES 02/14 1.375 |
2/25/2014 | 1.38 | % | 11,040,709 | ||||||||
FREDDIE MAC NOTES 03/13 0.75 |
3/28/2013 | 0.75 | % | 8,446,805 | ||||||||
FREDDIE MAC NOTES 04/14 1.35 |
4/29/2014 | 1.35 | % | 2,036,744 | ||||||||
FREDDIE MAC NOTES 04/14 4.5 |
4/2/2014 | 4.50 | % | 2,173,064 | ||||||||
FREDDIE MAC NOTES 04/16 5.25 |
4/18/2016 | 5.25 | % | 7,068,150 | ||||||||
FREDDIE MAC NOTES 05/16 2.5 |
5/27/2016 | 2.50 | % | 2,118,150 | ||||||||
FREDDIE MAC NOTES 06/12 1.75 |
6/15/2012 | 1.75 | % | 16,023,609 | ||||||||
FREDDIE MAC NOTES 06/12 1.75 |
6/15/2012 | 1.75 | % | 21,698,259 | ||||||||
FREDDIE MAC NOTES 06/13 3.75 |
6/28/2013 | 3.75 | % | 1,545,401 | ||||||||
FREDDIE MAC NOTES 08/14 1. |
8/20/2014 | 1.00 | % | 1,006,322 | ||||||||
FREDDIE MAC NOTES 08/16 2. |
8/25/2016 | 2.00 | % | 9,863,129 | ||||||||
FREDDIE MAC NOTES 08/16 2. |
8/25/2016 | 2.00 | % | 7,279,062 | ||||||||
FREDDIE MAC NOTES 08/16 2. |
8/25/2016 | 2.00 | % | 5,672,469 | ||||||||
FREDDIE MAC NOTES 09/13 4.125 |
9/27/2013 | 4.13 | % | 2,490,247 | ||||||||
FREDDIE MAC NOTES 09/15 1.75 |
9/10/2015 | 1.75 | % | 1,960,297 | ||||||||
FREDDIE MAC NOTES 09/19 3.525 |
9/30/2019 | 3.53 | % | 43,303,618 |
- 74 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
FREDDIE MAC NOTES 10/12 4.625 |
10/25/2012 | 4.63 | % | 1,616,174 | ||||||||
FREDDIE MAC NOTES 10/13 0.875 |
10/28/2013 | 0.88 | % | 3,819,676 | ||||||||
FREDDIE MAC NOTES 11/13 0.375 |
11/27/2013 | 0.38 | % | 35,118,192 | ||||||||
FREDDIE MAC NOTES 11/13 0.375 |
11/27/2013 | 0.38 | % | 6,689,180 | ||||||||
FREDDIE MAC NOTES 11/13 4.875 |
11/15/2013 | 4.88 | % | 2,236,948 | ||||||||
FREDDIE MAC NOTES 11/14 0.75 |
11/25/2014 | 0.75 | % | 1,993,494 | ||||||||
FREDDIE MAC NOTES 11/17 5.125 |
11/17/2017 | 5.13 | % | 3,488,255 | ||||||||
FREDDIE MAC NOTES 11/17 5.125 |
11/17/2017 | 5.13 | % | 2,937,984 | ||||||||
FREDDIE MAC NOTES 11/35 5.625 |
11/23/2035 | 5.63 | % | 3,747,673 | ||||||||
FREDDIE MAC SECS REMIC TR 2005 S001 CTF CL 2A2 |
9/25/2045 | 0.41 | % | 1,293,672 | ||||||||
FREDDIE MAC SER 3329 CL WK |
12/15/2031 | 6.00 | % | 776,274 | ||||||||
FREDDIE MAC SUBORDINATED 11/19 0.00000 |
11/29/2019 | 0.01 | % | 5,602,750 | ||||||||
FREEPORT MCMORAN C & G SR UNSECURED 04/17 8.375 |
4/1/2017 | 8.38 | % | 580,125 | ||||||||
FRESENIUS SE + CO KGAA COMMON STOCK NPV |
2,714,901 | |||||||||||
FRESH DEL MONTE PRODUCE INC COMMON STOCK USD.01 |
1,260,504 | |||||||||||
FSP STABLE VALUE FUND COMMON STOCK |
0 | |||||||||||
FUCHS PETROLUB AG PFD PREFERENCE |
136,101 | |||||||||||
G + K SERVICES INC CL A COMMON STOCK USD.5 |
1,722,497 | |||||||||||
GARDNER DENVER INC COMMON STOCK USD.01 |
1,579,730 | |||||||||||
GDF SUEZ COMMON STOCK EUR1. |
1,076,827 | |||||||||||
GE CAPITAL COMMERCIAL MORTGAGE GECMC 2006 C1 A4 |
3/10/2044 | 5.33 | % | 6,038,533 | ||||||||
GE CAPITAL COMMERCIAL MORTGAGE GECMC 2007 C1 A2 |
12/10/2049 | 5.42 | % | 3,653,246 | ||||||||
GE CAPITAL CREDIT CARD MASTER GEMNT 2009 2 A |
7/15/2015 | 3.69 | % | 253,937 | ||||||||
GE CAPITAL CREDIT CARD MASTER GEMNT 2009 4 A |
11/15/2017 | 3.80 | % | 1,289,370 | ||||||||
GEMALTO COMMON STOCK EUR1.0 |
279,242 | |||||||||||
GEN PROBE INC COMMON STOCK USD.0001 |
1,271,080 | |||||||||||
GENERAL ELEC CAP CORP 10/16 FIXED 3.35 |
10/17/2016 | 3.35 | % | 1,234,058 | ||||||||
GENERAL ELEC CAP CORP 10/21 FIXED 4.65 |
10/17/2021 | 4.65 | % | 1,393,295 | ||||||||
GENERAL ELEC CAP CORP FDIC GUARANT 03/12 2.25 |
3/12/2012 | 2.25 | % | 6,660,215 | ||||||||
GENERAL ELEC CAP CORP FDIC GUARANT 03/12 2.25 |
3/12/2012 | 2.25 | % | 13,522,255 | ||||||||
GENERAL ELEC CAP CORP FDIC GUARANT 06/12 2.2 |
6/8/2012 | 2.20 | % | 6,597,010 | ||||||||
GENERAL ELEC CAP CORP FDIC GUARANT 06/12 2.2 |
6/8/2012 | 2.20 | % | 13,393,837 | ||||||||
GENERAL ELEC CAP CORP FDIC GUARANT 09/12 2. |
9/28/2012 | 2.00 | % | 4,201,393 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 01/13 2.8 |
1/8/2013 | 2.80 | % | 5,905,105 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 01/13 2.8 |
1/8/2013 | 2.80 | % | 6,078,335 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 01/13 2.8 |
1/8/2013 | 2.80 | % | 8,202,950 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 01/13 5.45 |
1/15/2013 | 5.45 | % | 1,323,521 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 01/14 2.1 |
1/7/2014 | 2.10 | % | 4,324,787 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 01/39 6.875 |
1/10/2039 | 6.88 | % | 5,978,180 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 03/15 4.875 |
3/4/2015 | 4.88 | % | 439,402 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 05/14 5.9 |
5/13/2014 | 5.90 | % | 9,965,883 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 05/14 5.9 |
5/13/2014 | 5.90 | % | 98,564 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 05/18 5.625 |
5/1/2018 | 5.63 | % | 4,166,407 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 05/18 5.625 |
5/1/2018 | 5.63 | % | 3,371,206 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 06/12 6. |
6/15/2012 | 6.00 | % | 204,496 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 06/14 5.5 |
6/4/2014 | 5.50 | % | 1,087,050 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 06/14 5.65 |
6/9/2014 | 5.65 | % | 758,531 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 09/14 4.75 |
9/15/2014 | 4.75 | % | 3,882,046 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 09/15 4.375 |
9/21/2015 | 4.38 | % | 860,577 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 11/14 3.75 |
11/14/2014 | 3.75 | % | 4,743,306 | ||||||||
GENERAL ELEC CAP CORP SR UNSECURED 11/15 2.25 |
11/9/2015 | 2.25 | % | 2,857,720 |
- 75 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
GENERAL ELEC CAP CORP SR UNSECURED 12/13 VAR |
12/17/2013 | 0.68 | % | 12,466,895 | ||||||||
GENERAL ELEC CAP CORP SUBORDINATED 11/67 VAR |
11/15/2067 | 6.38 | % | 6,077,450 | ||||||||
GENERAL ELECTRIC CO COMMON STOCK USD.06 |
7,596,527 | |||||||||||
GENERAL MILLS INC COMMON STOCK USD.1 |
5,686,899 | |||||||||||
GENERAL MILLS INC SR UNSECURED 02/17 5.7 |
2/15/2017 | 5.70 | % | 1,493,864 | ||||||||
GENERAL MILLS INC SR UNSECURED 08/13 5.25 |
8/15/2013 | 5.25 | % | 293,886 | ||||||||
GENERAL MILLS INC SR UNSECURED 09/12 5.65 |
9/10/2012 | 5.65 | % | 412,268 | ||||||||
GENERAL MOTORS CO COMMON STOCK USD.01 |
612,965 | |||||||||||
GENESCO INC COMMON STOCK USD1. |
1,616,971 | |||||||||||
GENESEE + WYOMING INC CL A COMMON STOCK USD.01 |
918,817 | |||||||||||
GENESEE + WYOMING INC CL A COMMON STOCK USD.01 |
1,041,976 | |||||||||||
GENPACT LTD COMMON STOCK USD.01 |
1,712,836 | |||||||||||
GENTEX CORP COMMON STOCK USD.06 |
1,230,885 | |||||||||||
GENTEX CORP COMMON STOCK USD.06 |
1,612,655 | |||||||||||
GENTEX CORP COMMON STOCK USD.06 |
1,494,295 | |||||||||||
GENTING SINGAPORE PLC COMMON STOCK USD.1 |
565,966 | |||||||||||
GEORESOURCES INC COMMON STOCK USD.01 |
1,233,951 | |||||||||||
GEORGIA POWER COMPANY SR UNSECURED 11/13 6. |
11/1/2013 | 6.00 | % | 191,113 | ||||||||
GFK SE COMMON STOCK NPV |
211,058 | |||||||||||
GILEAD SCIENCES INC 12/14 FIXED 2.4 |
12/1/2014 | 2.40 | % | 590,445 | ||||||||
GILEAD SCIENCES INC 12/14 FIXED 2.4 |
12/1/2014 | 2.40 | % | 295,222 | ||||||||
GILEAD SCIENCES INC 12/16 FIXED 3.05 |
12/1/2016 | 3.05 | % | 3,536,141 | ||||||||
GILEAD SCIENCES INC COMMON STOCK USD.001 |
1,541,628 | |||||||||||
GIMV NV COMMON STOCK |
172,353 | |||||||||||
GLATFELTER COMMON STOCK USD.01 |
314,452 | |||||||||||
GLAXOSMITHKLINE CAP INC COMPANY GUAR 05/13 4.85 |
5/15/2013 | 4.85 | % | 6,032,464 | ||||||||
GLAXOSMITHKLINE CAP INC COMPANY GUAR 05/13 4.85 |
5/15/2013 | 4.85 | % | 4,444,973 | ||||||||
GLAXOSMITHKLINE CAP INC COMPANY GUAR 05/13 4.85 |
5/15/2013 | 4.85 | % | 968,369 | ||||||||
GLAXOSMITHKLINE PLC COMMON STOCK GBP.25 |
2,439,438 | |||||||||||
GLOBAL PAYMENTS INC COMMON STOCK NPV |
3,790,400 | |||||||||||
GLOBAL PAYMENTS INC COMMON STOCK NPV |
2,965,988 | |||||||||||
GLORY LTD COMMON STOCK |
213,209 | |||||||||||
GMAC COMMERCIAL MORTGAGE SECUR GMACC 2003 C2 A1 |
5/10/2040 | 4.58 | % | 1,170,761 | ||||||||
GMAC COMMERCIAL MORTGAGE SECUR GMACC 2003 C2 A2 |
5/10/2040 | 5.45 | % | 12,261,300 | ||||||||
GMAC COMMERCIAL MORTGAGE SECUR GMACC 2005 C1 A3 |
5/10/2043 | 4.54 | % | 2,708,571 | ||||||||
GMAC COMMERCIAL MORTGAGE SECUR GMACC 2006 C1 A4 |
11/10/2045 | 5.24 | % | 4,171,728 | ||||||||
GMAC MORTGAGE CORPORATION LOAN GMACM 2004 AR1 12A |
6/25/2034 | 3.10 | % | 7,385,798 | ||||||||
GMAC MORTGAGE CORPORATION LOAN GMACM 2005 AR4 3A1 |
7/19/2035 | 3.11 | % | 4,909,020 | ||||||||
GMAC MORTGAGE CORPORATION LOAN GMACM 2005 AR6 2A1 |
11/19/2035 | 3.08 | % | 378,443 | ||||||||
GNMA II JUMBOS 3.5 30 YRS |
12/1/2099 | 1.00 | % | 3,642,734 | ||||||||
GNMA II POOL 002958 |
8/20/2030 | 8.00 | % | 40,308 | ||||||||
GNMA II POOL 003529 |
3/20/2034 | 5.00 | % | 16,251 | ||||||||
GNMA II POOL 004006 |
7/20/2037 | 6.00 | % | 8,262 | ||||||||
GNMA II POOL 004040 |
10/20/2037 | 6.50 | % | 92,431 | ||||||||
GNMA II POOL 004041 |
10/20/2037 | 7.00 | % | 1,257,308 | ||||||||
GNMA II POOL 004099 |
3/20/2038 | 6.00 | % | 130,030 | ||||||||
GNMA II POOL 004223 |
8/20/2038 | 6.50 | % | 5,340,992 | ||||||||
GNMA II POOL 004224 |
8/20/2038 | 7.00 | % | 1,492,263 | ||||||||
GNMA II POOL 004247 |
9/20/2038 | 7.00 | % | 1,257,194 | ||||||||
GNMA II POOL 004291 |
11/20/2038 | 6.00 | % | 2,333,500 | ||||||||
GNMA II POOL 004292 |
11/20/2038 | 6.50 | % | 2,837,550 |
- 76 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
GNMA II POOL 004423 |
4/20/2039 | 4.50 | % | 46,050 | ||||||||
GNMA II POOL 004447 |
5/20/2039 | 5.00 | % | 762,796 | ||||||||
GNMA II POOL 004602 |
12/20/2039 | 6.00 | % | 48,513 | ||||||||
GNMA II POOL 004717 |
6/20/2040 | 6.00 | % | 166,978 | ||||||||
GNMA II POOL 004747 |
7/20/2040 | 5.00 | % | 372,121 | ||||||||
GNMA II POOL 004772 |
8/20/2040 | 5.00 | % | 13,970,556 | ||||||||
GNMA II POOL 004774 |
8/20/2040 | 6.00 | % | 2,012,362 | ||||||||
GNMA II POOL 004802 |
9/20/2040 | 5.00 | % | 1,463,945 | ||||||||
GNMA II POOL 004837 |
10/20/2040 | 6.00 | % | 561,459 | ||||||||
GNMA II POOL 004854 |
11/20/2040 | 4.50 | % | 596,559 | ||||||||
GNMA II POOL 004855 |
11/20/2040 | 5.00 | % | 6,645,286 | ||||||||
GNMA II POOL 004883 |
12/20/2040 | 4.50 | % | 1,409,919 | ||||||||
GNMA II POOL 004905 |
12/20/2040 | 6.00 | % | 2,476,656 | ||||||||
GNMA II POOL 004922 |
1/20/2041 | 4.00 | % | 1,532,538 | ||||||||
GNMA II POOL 004923 |
1/20/2041 | 4.50 | % | 501,042 | ||||||||
GNMA II POOL 004923 |
1/20/2041 | 4.50 | % | 1,533,802 | ||||||||
GNMA II POOL 004946 |
2/20/2041 | 4.50 | % | 1,899,210 | ||||||||
GNMA II POOL 004978 |
3/20/2041 | 4.50 | % | 29,027,296 | ||||||||
GNMA II POOL 004978 |
3/20/2041 | 4.50 | % | 11,693,030 | ||||||||
GNMA II POOL 004979 |
3/20/2041 | 5.00 | % | 3,964,101 | ||||||||
GNMA II POOL 004984 |
3/20/2041 | 5.50 | % | 3,429,437 | ||||||||
GNMA II POOL 004991 |
3/20/2041 | 6.00 | % | 902,928 | ||||||||
GNMA II POOL 005016 |
4/20/2041 | 4.00 | % | 1,008,692 | ||||||||
GNMA II POOL 005017 |
4/20/2041 | 4.50 | % | 1,124,392 | ||||||||
GNMA II POOL 005017 |
4/20/2041 | 4.50 | % | 1,536,160 | ||||||||
GNMA II POOL 005018 |
4/20/2041 | 5.00 | % | 2,989,332 | ||||||||
GNMA II POOL 005019 |
4/20/2041 | 6.00 | % | 743,390 | ||||||||
GNMA II POOL 005055 |
5/20/2041 | 4.50 | % | 1,427,177 | ||||||||
GNMA II POOL 005082 |
6/20/2041 | 4.50 | % | 1,047,598 | ||||||||
GNMA II POOL 005115 |
7/20/2041 | 4.50 | % | 528,351 | ||||||||
GNMA II POOL 005140 |
8/20/2041 | 4.50 | % | 4,935,068 | ||||||||
GNMA II POOL 008358 |
1/20/2024 | 2.38 | % | 38,154 | ||||||||
GNMA II POOL 008399 |
4/20/2024 | 2.38 | % | 33,561 | ||||||||
GNMA II POOL 008744 |
11/20/2025 | 2.13 | % | 77,704 | ||||||||
GNMA II POOL 008770 |
12/20/2025 | 2.13 | % | 86,676 | ||||||||
GNMA II POOL 008781 |
1/20/2026 | 2.38 | % | 1,820 | ||||||||
GNMA II POOL 008788 POOL 8788 |
1/20/2026 | 2.38 | % | 23,607 | ||||||||
GNMA II POOL 080012 |
11/20/2026 | 2.13 | % | 35,592 | ||||||||
GNMA II POOL 080106 |
8/20/2027 | 1.63 | % | 39,570 | ||||||||
GNMA II POOL 080397 |
4/20/2030 | 2.38 | % | 7,232 | ||||||||
GNMA POOL 136713 |
3/15/2016 | 9.50 | % | 1,481 | ||||||||
GNMA POOL 146412 |
4/15/2016 | 9.50 | % | 960 | ||||||||
GNMA POOL 202858 |
6/15/2017 | 9.50 | % | 838 | ||||||||
GNMA POOL 252622 |
10/15/2018 | 9.50 | % | 7,847 | ||||||||
GNMA POOL 297862 |
11/15/2021 | 8.50 | % | 5,483 | ||||||||
GNMA POOL 298906 |
5/15/2021 | 8.50 | % | 1,289 | ||||||||
GNMA POOL 300672 |
4/15/2022 | 8.50 | % | 10,558 | ||||||||
GNMA POOL 306283 |
10/15/2021 | 8.50 | % | 13,785 | ||||||||
GNMA POOL 315855 |
1/15/2022 | 8.50 | % | 5,325 | ||||||||
GNMA POOL 322562 |
4/15/2022 | 8.50 | % | 16,054 | ||||||||
GNMA POOL 389023 |
11/15/2022 | 8.50 | % | 1,287 |
- 77 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
GNMA POOL 438506 |
1/15/2027 | 7.00 | % | 20,563 | ||||||||
GNMA POOL 476784 |
8/15/2028 | 7.00 | % | 34,876 | ||||||||
GNMA POOL 482190 |
8/15/2030 | 8.50 | % | 63,595 | ||||||||
GNMA POOL 497630 |
2/15/2029 | 6.00 | % | 14,201 | ||||||||
GNMA POOL 498387 |
2/15/2029 | 6.00 | % | 13,967 | ||||||||
GNMA POOL 523278 |
7/15/2031 | 6.00 | % | 61,615 | ||||||||
GNMA POOL 543812 |
2/15/2031 | 6.00 | % | 56,283 | ||||||||
GNMA POOL 586373 |
2/15/2035 | 5.00 | % | 46,341 | ||||||||
GNMA POOL 594106 |
9/15/2033 | 4.50 | % | 563,366 | ||||||||
GNMA POOL 595611 |
1/15/2035 | 5.00 | % | 45,815 | ||||||||
GNMA POOL 600602 |
9/15/2036 | 6.50 | % | 33,890 | ||||||||
GNMA POOL 603692 |
6/15/2034 | 5.00 | % | 65,491 | ||||||||
GNMA POOL 604497 |
7/15/2033 | 5.00 | % | 43,578 | ||||||||
GNMA POOL 604791 |
11/15/2033 | 5.50 | % | 319,062 | ||||||||
GNMA POOL 607451 |
1/15/2034 | 5.00 | % | 70,642 | ||||||||
GNMA POOL 607465 |
2/15/2034 | 5.00 | % | 67,341 | ||||||||
GNMA POOL 610410 |
8/15/2033 | 5.00 | % | 52,468 | ||||||||
GNMA POOL 615656 |
10/15/2033 | 5.00 | % | 41,422 | ||||||||
GNMA POOL 617483 |
3/15/2037 | 6.50 | % | 28,832 | ||||||||
GNMA POOL 617531 |
5/15/2037 | 6.50 | % | 16,330 | ||||||||
GNMA POOL 617798 |
11/15/2037 | 6.50 | % | 98,318 | ||||||||
GNMA POOL 623871 |
6/15/2034 | 5.00 | % | 49,236 | ||||||||
GNMA POOL 633701 |
9/15/2033 | 5.00 | % | 54,235 | ||||||||
GNMA POOL 636484 |
3/15/2035 | 5.00 | % | 74,281 | ||||||||
GNMA POOL 637746 |
12/15/2034 | 5.00 | % | 51,678 | ||||||||
GNMA POOL 638222 |
12/15/2034 | 5.00 | % | 42,584 | ||||||||
GNMA POOL 643362 |
10/15/2035 | 5.00 | % | 47,027 | ||||||||
GNMA POOL 645258 |
12/15/2037 | 6.50 | % | 25,363 | ||||||||
GNMA POOL 647560 |
5/15/2036 | 6.50 | % | 405,483 | ||||||||
GNMA POOL 655691 |
9/15/2036 | 6.50 | % | 30,656 | ||||||||
GNMA POOL 656487 |
9/15/2036 | 6.50 | % | 320,998 | ||||||||
GNMA POOL 670518 |
6/15/2037 | 6.50 | % | 86,890 | ||||||||
GNMA POOL 672767 |
6/15/2038 | 6.50 | % | 182,655 | ||||||||
GNMA POOL 672922 |
7/15/2038 | 6.50 | % | 325,649 | ||||||||
GNMA POOL 673069 |
9/15/2038 | 6.50 | % | 252,486 | ||||||||
GNMA POOL 673213 |
10/15/2038 | 6.50 | % | 469,921 | ||||||||
GNMA POOL 673230 |
11/15/2038 | 6.50 | % | 949,604 | ||||||||
GNMA POOL 673571 |
8/15/2037 | 6.50 | % | 13,870 | ||||||||
GNMA POOL 676769 |
3/15/2038 | 6.50 | % | 554,504 | ||||||||
GNMA POOL 677232 |
8/15/2038 | 6.50 | % | 962,021 | ||||||||
GNMA POOL 677382 |
10/15/2038 | 6.50 | % | 490,010 | ||||||||
GNMA POOL 687112 |
10/15/2038 | 6.50 | % | 104,823 | ||||||||
GNMA POOL 689792 |
8/15/2038 | 6.50 | % | 789,982 | ||||||||
GNMA POOL 689805 |
8/15/2023 | 7.00 | % | 236,738 | ||||||||
GNMA POOL 689835 |
8/15/2038 | 6.50 | % | 28,700 | ||||||||
GNMA POOL 689844 |
9/15/2038 | 6.50 | % | 37,006 | ||||||||
GNMA POOL 689859 |
9/15/2038 | 6.50 | % | 238,645 | ||||||||
GNMA POOL 691650 |
9/15/2038 | 6.50 | % | 11,294 | ||||||||
GNMA POOL 691937 |
8/15/2038 | 6.50 | % | 5,343 | ||||||||
GNMA POOL 692119 |
10/15/2038 | 6.50 | % | 31,577 | ||||||||
GNMA POOL 693545 |
7/15/2038 | 6.50 | % | 152,494 |
- 78 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
GNMA POOL 694601 |
9/15/2038 | 6.50 | % | 40,457 | ||||||||
GNMA POOL 694644 |
8/15/2038 | 6.50 | % | 209,701 | ||||||||
GNMA POOL 695773 |
11/15/2038 | 6.50 | % | 67,573 | ||||||||
GNMA POOL 697562 |
11/15/2038 | 6.50 | % | 530,438 | ||||||||
GNMA POOL 697594 |
11/15/2038 | 6.50 | % | 497,857 | ||||||||
GNMA POOL 697713 |
12/15/2038 | 6.50 | % | 102,584 | ||||||||
GNMA POOL 699071 |
8/15/2038 | 6.50 | % | 9,720 | ||||||||
GNMA POOL 699246 |
9/15/2038 | 6.50 | % | 18,346 | ||||||||
GNMA POOL 699271 |
9/15/2038 | 6.50 | % | 53,359 | ||||||||
GNMA POOL 699283 |
9/15/2038 | 6.50 | % | 333,436 | ||||||||
GNMA POOL 700767 |
10/15/2038 | 6.50 | % | 337,287 | ||||||||
GNMA POOL 703634 |
12/15/2038 | 6.50 | % | 587,085 | ||||||||
GNMA POOL 705358 |
12/15/2038 | 6.50 | % | 43,188 | ||||||||
GNMA POOL 722778 |
9/15/2039 | 6.50 | % | 33,201 | ||||||||
GNMA POOL 733600 |
4/15/2040 | 5.00 | % | 521,365 | ||||||||
GNMA POOL 733600 |
4/15/2040 | 5.00 | % | 68,859 | ||||||||
GNMA POOL 733627 |
5/15/2040 | 5.00 | % | 1,140,847 | ||||||||
GNMA POOL 733627 |
5/15/2040 | 5.00 | % | 160,119 | ||||||||
GNMA POOL 738108 |
3/15/2041 | 4.50 | % | 2,148,812 | ||||||||
GNMA POOL 771561 |
8/15/2041 | 4.00 | % | 1,055,650 | ||||||||
GNMA POOL 780049 |
11/15/2021 | 9.50 | % | 12,914 | ||||||||
GNMA POOL 780151 |
12/15/2021 | 9.00 | % | 76,219 | ||||||||
GNMA POOL 780345 |
12/15/2021 | 9.50 | % | 32,685 | ||||||||
GNMA POOL 781213 |
12/15/2017 | 8.00 | % | 18,434 | ||||||||
GNMA POOL 781804 |
9/15/2034 | 6.00 | % | 1,091,159 | ||||||||
GNMA POOL 781847 |
12/15/2034 | 6.00 | % | 974,050 | ||||||||
GNMA POOL 781885 |
3/15/2035 | 5.00 | % | 68,370 | ||||||||
GNMA POOL 781902 |
2/15/2035 | 6.00 | % | 868,236 | ||||||||
GNMA POOL 781958 |
7/15/2035 | 5.00 | % | 100,227 | ||||||||
GNMA POOL 782282 |
2/15/2038 | 6.50 | % | 248,395 | ||||||||
GNMA POOL 782376 |
8/15/2038 | 6.50 | % | 208,087 | ||||||||
GNMA POOL 782587 |
2/15/2039 | 6.50 | % | 238,436 | ||||||||
GNMA POOL 782619 |
4/15/2039 | 5.00 | % | 10,210,475 | ||||||||
GNMA POOL 782838 |
7/15/2019 | 4.50 | % | 821,374 | ||||||||
GNMA REMIC TRUST 2010 H20 10/60 VAR |
10/20/2060 | 0.58 | % | 8,518,315 | ||||||||
GNR 2006 3 B 01/37 FIXED 5.091 |
1/16/2037 | 5.09 | % | 6,613,807 | ||||||||
GNR 2010 14 QP 12/39 FIXED 6.0 |
12/20/2039 | 6.00 | % | 1,198,776 | ||||||||
GNR 2010 H010 FC 05/60 FRN |
5/20/2060 | 1.26 | % | 5,609,614 | ||||||||
GNR 2010 H22 FE 05/59 VAR |
5/20/2059 | 0.60 | % | 4,447,436 | ||||||||
GNR 2011 H09 AF 03/61 VAR |
3/20/2061 | 0.75 | % | 1,841,593 | ||||||||
GNR 2011 H11 FB 04/20 VAR |
4/20/2061 | 0.75 | % | 10,757,119 | ||||||||
GOL LINHAS AEREAS PREF PREFERENCE |
195,412 | |||||||||||
GOL LINHAS AEREAS RTS EXP 26JAN12 |
8 | |||||||||||
GOLD FIELDS LTD SPONS ADR ADR |
1,327,940 | |||||||||||
GOLDCORP INC COMMON STOCK NPV |
974,840 | |||||||||||
GOLDCREST CO LTD COMMON STOCK |
144,249 | |||||||||||
GOLDMAN SACHS CAPITAL II LIMITD GUARA 06/43 VAR |
6/1/2043 | 5.79 | % | 73,800 | ||||||||
GOLDMAN SACHS GROUP INC 06/20 FIXED 6 |
6/15/2020 | 6.00 | % | 460,963 | ||||||||
GOLDMAN SACHS GROUP INC 08/15 FIXED 3.7 |
8/1/2015 | 3.70 | % | 254,723 | ||||||||
GOLDMAN SACHS GROUP INC 08/15 FIXED 3.7 |
8/1/2015 | 3.70 | % | 161,651 | ||||||||
GOLDMAN SACHS GROUP INC COMMON STOCK USD.01 |
7,124,075 |
- 79 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
GOLDMAN SACHS GROUP INC COMMON STOCK USD.01 |
3,310,733 | |||||||||||
GOLDMAN SACHS GROUP INC SENIOR NOTES 02/41 6.25 |
2/1/2041 | 6.25 | % | 4,012,409 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 01/12 6.6 |
1/15/2012 | 6.60 | % | 280,370 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 01/12 6.6 |
1/15/2012 | 6.60 | % | 40,053 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 01/15 5.125 |
1/15/2015 | 5.13 | % | 490,613 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 01/18 5.95 |
1/18/2018 | 5.95 | % | 2,801,244 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 01/18 5.95 |
1/18/2018 | 5.95 | % | 10,242,210 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 01/18 5.95 |
1/18/2018 | 5.95 | % | 389,204 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 02/12 5.3 |
2/14/2012 | 5.30 | % | 120,403 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 02/12 5.3 |
2/14/2012 | 5.30 | % | 20,067 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 02/14 VAR |
2/7/2014 | 1.44 | % | 1,869,400 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 02/16 3.625 |
2/7/2016 | 3.63 | % | 202,907 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 02/16 3.625 |
2/7/2016 | 3.63 | % | 797,134 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 02/16 3.625 |
2/7/2016 | 3.63 | % | 739,161 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 02/19 7.5 |
2/15/2019 | 7.50 | % | 270,580 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 03/20 5.375 |
3/15/2020 | 5.38 | % | 1,362,093 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 03/20 5.375 |
3/15/2020 | 5.38 | % | 3,651,989 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 03/20 5.375 |
3/15/2020 | 5.38 | % | 182,599 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 04/18 6.15 |
4/1/2018 | 6.15 | % | 2,507,976 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 04/18 6.15 |
4/1/2018 | 6.15 | % | 3,049,823 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 04/18 6.15 |
4/1/2018 | 6.15 | % | 15,481,335 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 05/14 6. |
5/1/2014 | 6.00 | % | 1,038,014 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 05/14 6. |
5/1/2014 | 6.00 | % | 487,867 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 05/14 6. |
5/1/2014 | 6.00 | % | 9,046,292 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 05/14 6. |
5/1/2014 | 6.00 | % | 4,603,592 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 07/13 4.75 |
7/15/2013 | 4.75 | % | 101,323 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 07/13 4.75 |
7/15/2013 | 4.75 | % | 30,397 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 07/21 5.25 |
7/27/2021 | 5.25 | % | 4,385,052 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 07/21 5.25 |
7/27/2021 | 5.25 | % | 3,219,282 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 08/12 3.625 |
8/1/2012 | 3.63 | % | 432,590 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 08/12 3.625 |
8/1/2012 | 3.63 | % | 60,361 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 10/13 5.25 |
10/15/2013 | 5.25 | % | 1,020,334 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 10/13 5.25 |
10/15/2013 | 5.25 | % | 7,448,438 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 10/13 5.25 |
10/15/2013 | 5.25 | % | 632,607 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 10/13 5.25 |
10/15/2013 | 5.25 | % | 91,830 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 10/16 5.75 |
10/1/2016 | 5.75 | % | 3,629,014 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 11/12 5.45 |
11/1/2012 | 5.45 | % | 3,050,937 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 11/12 5.45 |
11/1/2012 | 5.45 | % | 1,576,317 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 11/12 5.45 |
11/1/2012 | 5.45 | % | 213,566 | ||||||||
GOLDMAN SACHS GROUP INC SR UNSECURED 11/14 5.5 |
11/15/2014 | 5.50 | % | 2,964,084 | ||||||||
GOLDMAN SACHS GROUP INC SUBORDINATED 10/37 6.75 |
10/1/2037 | 6.75 | % | 3,908,155 | ||||||||
GOODRICH PETROLEUM CORP COMMON STOCK USD.2 |
128,019 | |||||||||||
GOODRICH PETROLEUM CORP SR UNSECURED 10/29 5. |
10/1/2029 | 5.00 | % | 1,003,129 | ||||||||
GOOGLE INC CL A COMMON STOCK USD.001 |
22,257,068 | |||||||||||
GOOGLE INC CL A COMMON STOCK USD.001 |
22,025,190 | |||||||||||
GOOGLE INC CL A COMMON STOCK USD.001 |
10,172,925 | |||||||||||
GOOGLE INC CL A COMMON STOCK USD.001 |
10,085,083 | |||||||||||
GOVERNMENT NATL MTG ASSN GTD REMIC TR 1999 11 CL ZB |
4/20/2029 | 6.50 | % | 535,849 | ||||||||
GOVERNMENT NATL MTG ASSN GTD SER2006 038 REMIC PASSTHRU CTF |
9/16/2035 | 0.35 | % | 1,074,981 | ||||||||
GOVERNMENT NATL MTG ASSN REMIC 2002 31 TR CL FW FRN |
6/16/2031 | 0.65 | % | 43,253 |
- 80 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
GOVERNMENT NATL MTG ASSN REMIC TR 2000 26 CL DF |
9/20/2030 | 0.65 | % | 17,916 | ||||||||
GOVERNMENT NATL MTG ASSN REMIC TR 2000 29 CL F |
9/20/2030 | 0.75 | % | 28,401 | ||||||||
GOVERNMENT NATL MTG ASSN REMIC TR 2000 30 CL FB |
10/16/2030 | 0.70 | % | 18,225 | ||||||||
GRACO INC COMMON STOCK USD1. |
1,165,365 | |||||||||||
GRAND CANYON EDUCATION INC COMMON STOCK USD.01 |
1,157,131 | |||||||||||
GRANDE CACHE COAL CORP COMMON STOCK |
227,738 | |||||||||||
GRANITE MORTGAGES PLC. GRAN 2003 2 1A3 REGS |
7/20/2043 | 0.91 | % | 860,636 | ||||||||
GRANITE MORTGAGES PLC. GRAN 2004 3 2A1 |
9/20/2044 | 0.84 | % | 568,373 | ||||||||
GREAT EAGLE HOLDINGS LTD COMMON STOCK HKD.5 |
185,201 | |||||||||||
GREAT PLAINS ENERGY INC SR UNSECURED 08/13 2.75 |
8/15/2013 | 2.75 | % | 5,110,645 | ||||||||
GREATBATCH INC COMMON STOCK USD.001 |
1,361,139 | |||||||||||
GREEN DOT CORP CLASS A COMMON STOCK USD.001 |
1,361,192 | |||||||||||
GREEN MOUNTAIN COFFEE ROASTE COMMON STOCK USD.1 |
615,791 | |||||||||||
GREENPOINT MORTGAGE FUNDING TR GPMF 2005 AR1 A2 |
6/25/2045 | 0.51 | % | 1,052,695 | ||||||||
GREENPOINT MORTGAGE FUNDING TR GPMF 2006 OH1 A1 |
1/25/2037 | 0.44 | % | 1,815,693 | ||||||||
GREENWICH CAPITAL COMMERCIAL F GCCFC 2005 GG3 A3 |
8/10/2042 | 4.57 | % | 12,466,210 | ||||||||
GREENWICH CAPITAL COMMERCIAL F GCCFC 2005 GG3 A3 |
8/10/2042 | 4.57 | % | 3,311,179 | ||||||||
GREENWICH CAPITAL COMMERCIAL F GCCFC 2005 GG5 A2 |
4/10/2037 | 5.12 | % | 1,303,265 | ||||||||
GREENWICH CAPITAL COMMERCIAL F GCCFC 2007 GG9 A2 |
3/10/2039 | 5.38 | % | 1,003,649 | ||||||||
GREENWICH CAPITAL COMMERCIAL F GCCFC 2007 GG9 A2 |
3/10/2039 | 5.38 | % | 5,286,147 | ||||||||
GREENWICH CAPITAL COMMERCIAL F GCCFC 2007 GG9 A3 |
3/10/2039 | 5.45 | % | 3,032,808 | ||||||||
GROUP 1 AUTOMOTIVE INC COMMON STOCK USD.01 |
1,464,386 | |||||||||||
GRUPO AEROPORTUARIO DEL CENT COMMON STOCK NPV |
180,269 | |||||||||||
GS MORTGAGE SECURITIES CORPORA GSMS 2004 GG2 A6 |
8/10/2038 | 5.40 | % | 7,725,613 | ||||||||
GS MORTGAGE SECURITIES CORPORA GSMS 2006 GG6 A2 |
4/10/2038 | 5.51 | % | 7,676,665 | ||||||||
GS MORTGAGE SECURITIES CORPORA GSMS 2006 GG6 A4 |
4/10/2038 | 5.55 | % | 3,044,258 | ||||||||
GS MORTGAGE SECURITIES CORPORA GSMS 2006 GG8 A2 |
11/10/2039 | 5.48 | % | 1,809,710 | ||||||||
GS MORTGAGE SECURITIES CORPORA GSMS 2007 EOP C 144A |
3/6/2020 | 2.15 | % | 2,906,145 | ||||||||
GS MORTGAGE SECURITIES CORPORA GSMS 2011 GC3 A4 144A |
3/10/2044 | 4.75 | % | 461,617 | ||||||||
GS MORTGAGE SECURITIES TRUST GSMS 2007 GG10 A4 |
8/10/2045 | 5.79 | % | 4,454,067 | ||||||||
GSAA HOME EQUITY TRUST GSAA 2006 5 2A1 |
3/25/2036 | 0.36 | % | 181,571 | ||||||||
GSAMP TRUST GSAMP 2004 AR1 A2B |
6/25/2034 | 0.89 | % | 2,486,712 | ||||||||
GSMPS MORTGAGE LOAN TRUST GSMPS 2005 RP2 1AF 144A |
3/25/2035 | 0.64 | % | 2,983,274 | ||||||||
GSMPS MORTGAGE LOAN TRUST GSMPS 2005 RP3 1AF 144A |
9/25/2035 | 0.64 | % | 816,325 | ||||||||
GSR MORTGAGE LOAN TRUST GSR 2003 2F 3A1 |
3/25/2032 | 6.00 | % | 9,600 | ||||||||
GSR MORTGAGE LOAN TRUST GSR 2005 AR3 2A1 |
5/25/2035 | 0.73 | % | 43,975 | ||||||||
GULFMARK OFFSHORE INC CL A COMMON STOCK USD.01 |
1,403,134 | |||||||||||
GUOCO GROUP LTD UNSPON ADR ADR |
276,150 | |||||||||||
H LUNDBECK A/S COMMON STOCK DKK5. |
693,987 | |||||||||||
HAEMONETICS CORP/MASS COMMON STOCK USD.01 |
455,416 | |||||||||||
HAEMONETICS CORP/MASS COMMON STOCK USD.01 |
1,732,526 | |||||||||||
HAMAMATSU PHOTONICS KK COMMON STOCK |
1,683,563 | |||||||||||
HANCOCK HOLDING CO COMMON STOCK USD3.33 |
1,716,789 | |||||||||||
HANCOCK HOLDING CO COMMON STOCK USD3.33 |
1,994,608 | |||||||||||
HANESBRANDS INC COMMON STOCK USD.01 |
1,473,364 | |||||||||||
HANG LUNG PROPERTIES LTD COMMON STOCK HKD1. |
1,320,320 | |||||||||||
HANOVER INSURANCE GROUP INC/ COMMON STOCK USD.01 |
1,418,795 | |||||||||||
HARBORVIEW MORTGAGE LOAN TRUST HVMLT 2003 1 A |
5/19/2033 | 2.93 | % | 42,730 | ||||||||
HARBORVIEW MORTGAGE LOAN TRUST HVMLT 2004 5 2A6 |
6/19/2034 | 2.42 | % | 7,941,892 | ||||||||
HARBORVIEW MORTGAGE LOAN TRUST HVMLT 2005 4 4A |
7/19/2035 | 2.75 | % | 2,113,641 | ||||||||
HARBORVIEW MORTGAGE LOAN TRUST HVMLT 2005 9 2A1A |
6/20/2035 | 0.62 | % | 2,715,988 |
- 81 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
HARLEY DAVIDSON INC COMMON STOCK USD.01 |
2,826,432 | |||||||||||
HARLEY DAVIDSON MOTORCYCLE TRU HDMOT 2007 2 A4 |
8/15/2013 | 5.12 | % | 343,545 | ||||||||
HARLEY DAVIDSON MOTORCYCLE TRU HDMOT 2007 3 A4 |
11/15/2013 | 5.52 | % | 24,695 | ||||||||
HARLEY DAVIDSON MOTORCYCLE TRU HDMOT 2009 1 A3 |
11/15/2013 | 3.19 | % | 326,541 | ||||||||
HARLEY DAVIDSON MOTORCYCLE TRU HDMOT 2009 1 A4 |
1/15/2017 | 4.55 | % | 281,289 | ||||||||
HARLEY DAVIDSON MOTORCYCLE TRU HDMOT 2009 2 A3 |
3/15/2014 | 2.62 | % | 337,413 | ||||||||
HARLEY DAVIDSON MOTORCYCLE TRU HDMOT 2009 3 A4 |
4/15/2017 | 2.54 | % | 2,622,113 | ||||||||
HARLEY DAVIDSON MOTORCYCLE TRU HDMOT 2009 4 A3 |
2/15/2014 | 1.87 | % | 1,271,891 | ||||||||
HARTFORD FINL SVCS GRP SR UNSECURED 03/14 4.75 |
3/1/2014 | 4.75 | % | 2,830,224 | ||||||||
HASBRO INC COMMON STOCK USD.5 |
2,871,695 | |||||||||||
HAULOTTE GROUP COMMON STOCK EUR.13 |
112,025 | |||||||||||
HAWAIIAN HOLDINGS INC COMMON STOCK USD.01 |
1,064,242 | |||||||||||
HCA HOLDINGS INC COMMON STOCK USD.01 |
663,103 | |||||||||||
HCP INC SR UNSECURED 02/14 2.7 |
2/1/2014 | 2.70 | % | 169,753 | ||||||||
HCP INC SR UNSECURED 02/14 2.7 |
2/1/2014 | 2.70 | % | 2,439,448 | ||||||||
HCP INC SR UNSECURED 02/14 2.7 |
2/1/2014 | 2.70 | % | 149,782 | ||||||||
HEALTH CARE REIT INC SR UNSECURED 03/16 3.625 |
3/15/2016 | 3.63 | % | 2,510,585 | ||||||||
HEALTHSOUTH CORP COMMON STOCK USD.01 |
431,784 | |||||||||||
HEARTLAND EXPRESS INC COMMON STOCK USD.01 |
654,482 | |||||||||||
HEICO CORP COMMON STOCK USD.01 |
415,442 | |||||||||||
HEIJMANS COMMON STOCK |
102,041 | |||||||||||
HELIX ENERGY SOLUTIONS GROUP COMMON STOCK NPV |
1,025,420 | |||||||||||
HELMERICH + PAYNE COMMON STOCK USD.1 |
831,338 | |||||||||||
HENKEL AG + CO KGAA COMMON STOCK NPV |
106,957 | |||||||||||
HENKEL AG + CO KGAA VORZUG PREFERENCE |
644,776 | |||||||||||
HENRY SCHEIN INC COMMON STOCK USD.01 |
640,563 | |||||||||||
HERBALIFE LTD COMMON STOCK USD.002 |
549,975 | |||||||||||
HERBALIFE LTD COMMON STOCK USD.002 |
1,343,420 | |||||||||||
HERTZ VEHICLE FINANCING LLC HERTZ 2009 2A A2 144A |
3/25/2016 | 5.29 | % | 2,381,736 | ||||||||
HESS CORP COMMON STOCK USD1. |
1,322,304 | |||||||||||
HESS CORP SR UNSECURED 02/19 8.125 |
2/15/2019 | 8.13 | % | 4,197,578 | ||||||||
HESS CORP SR UNSECURED 08/31 7.3 |
8/15/2031 | 7.30 | % | 307,977 | ||||||||
HEWLETT PACKARD CO 12/14 FIXED 2.625 |
12/9/2014 | 2.63 | % | 3,026,433 | ||||||||
HEWLETT PACKARD CO COMMON STOCK USD.01 |
3,167,450 | |||||||||||
HEWLETT PACKARD CO COMMON STOCK USD.01 |
19,385,096 | |||||||||||
HEWLETT PACKARD CO COMMON STOCK USD.01 |
628,544 | |||||||||||
HEWLETT PACKARD CO SR UNSECURED 02/12 4.25 |
2/24/2012 | 4.25 | % | 3,997,918 | ||||||||
HEWLETT PACKARD CO SR UNSECURED 03/14 6.125 |
3/1/2014 | 6.13 | % | 1,725,203 | ||||||||
HEWLETT PACKARD CO SR UNSECURED 08/12 2.95 |
8/15/2012 | 2.95 | % | 1,446,214 | ||||||||
HEWLETT PACKARD CO SR UNSECURED 09/13 1.25 |
9/13/2013 | 1.25 | % | 5,927,353 | ||||||||
HEWLETT PACKARD CO SR UNSECURED 09/13 1.25 |
9/13/2013 | 1.25 | % | 839,149 | ||||||||
HEWLETT PACKARD CO SR UNSECURED 09/15 2.125 |
9/13/2015 | 2.13 | % | 687,678 | ||||||||
HEXCEL CORP COMMON STOCK USD.01 |
1,241,973 | |||||||||||
HIBBETT SPORTS INC COMMON STOCK USD.01 |
1,286,275 | |||||||||||
HIGHWOODS PROPERTIES INC REIT USD.01 |
1,616,066 | |||||||||||
HIKMA PHARMACEUTICALS PLC COMMON STOCK GBP.1 |
1,075,429 | |||||||||||
HIKMA PHARMACEUTICALS PLC COMMON STOCK GBP.1 |
421,367 | |||||||||||
HISOFT TECHNOLOGY INT ADR ADR |
1,394,284 | |||||||||||
HITACHI LTD COMMON STOCK |
1,853,548 | |||||||||||
HITACHI LTD COMMON STOCK |
12,024,435 | |||||||||||
HITTITE MICROWAVE CORP COMMON STOCK USD.01 |
1,058,164 |
- 82 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
HMS HOLDINGS CORP COMMON STOCK USD.01 |
2,479,090 | |||||||||||
HOLOGIC INC COMMON STOCK USD.01 |
1,680,960 | |||||||||||
HOME BANCSHARES INC COMMON STOCK USD.01 |
1,845,828 | |||||||||||
HOME DEPOT INC SR UNSECURED 12/13 5.25 |
12/16/2013 | 5.25 | % | 4,161,192 | ||||||||
HON HAI PRECISION INDUSTRY COMMON STOCK TWD10. |
2,212,200 | |||||||||||
HONDA AUTO RECEIVABLES OWNER T HAROT 2009 3 A3 |
5/15/2013 | 2.31 | % | 194,653 | ||||||||
HONDA AUTO RECEIVABLES OWNER T HAROT 2010 2 A3 |
3/18/2014 | 1.34 | % | 804,679 | ||||||||
HONDA AUTO RECEIVABLES OWNER T HAROT 2010 2 A4 |
8/18/2016 | 1.93 | % | 1,522,111 | ||||||||
HONDA AUTO RECEIVABLES OWNER T HAROT 2011 1 A3 |
10/15/2014 | 1.13 | % | 1,987,931 | ||||||||
HONDA MOTOR CO LTD COMMON STOCK |
2,004,833 | |||||||||||
HONEYWELL INTERNATIONAL INC COMMON STOCK USD1. |
12,543,980 | |||||||||||
HONEYWELL INTERNATIONAL INC COMMON STOCK USD1. |
5,619,247 | |||||||||||
HONEYWELL INTERNATIONAL SR UNSECURED 02/14 3.875 |
2/15/2014 | 3.88 | % | 960,224 | ||||||||
HONEYWELL INTERNATIONAL SR UNSECURED 03/18 5.3 |
3/1/2018 | 5.30 | % | 294,826 | ||||||||
HOSPIRA INC COMMON STOCK USD.01 |
388,736 | |||||||||||
HOST HOTELS + RESORTS INC REIT USD.01 |
601,139 | |||||||||||
HOUSING URBAN DEVELOPMNT US GOVT GUAR 08/15 5.36 |
8/1/2015 | 5.36 | % | 7,276,621 | ||||||||
HSBC BANK PLC 05/16 FIXED 3.1 |
5/24/2016 | 3.10 | % | 3,050,180 | ||||||||
HSBC BANK PLC COVERED 144A 07/14 1.625 |
7/7/2014 | 1.63 | % | 2,084,533 | ||||||||
HSBC BANK USA NA SUB NOTES 08/20 4.875 |
8/24/2020 | 4.88 | % | 338,697 | ||||||||
HSBC BANK USA SUBORDINATED 08/17 6. |
8/9/2017 | 6.00 | % | 15,415,740 | ||||||||
HSBC FINANCE CORP 01/21 FIXED 6.676 |
1/15/2021 | 6.68 | % | 3,744,517 | ||||||||
HSBC FINANCE CORP 01/21 FIXED 6.676 |
1/15/2021 | 6.68 | % | 181,019 | ||||||||
HSBC FINANCE CORP SR UNSECURED 06/15 5. |
6/30/2015 | 5.00 | % | 4,721,573 | ||||||||
HSBC FINANCE CORP SR UNSECURED 07/13 4.75 |
7/15/2013 | 4.75 | % | 7,891,393 | ||||||||
HSBC FINANCE CORP SR UNSECURED 11/12 6.375 |
11/27/2012 | 6.38 | % | 3,085,620 | ||||||||
HSBC HOLDINGS PLC 1/22 FIXED 4.875 |
1/14/2022 | 4.88 | % | 4,084,891 | ||||||||
HSBC HOLDINGS PLC 1/22 FIXED 4.875 |
1/14/2022 | 4.88 | % | 2,029,235 | ||||||||
HSBC HOLDINGS PLC COMMON STOCK USD.5 |
3,292,099 | |||||||||||
HSBC HOLDINGS PLC SR UNSECURED 04/21 5.1 |
4/5/2021 | 5.10 | % | 414,411 | ||||||||
HSBC HOLDINGS PLC SUBORDINATED 12/12 5.25 |
12/12/2012 | 5.25 | % | 6,117,060 | ||||||||
HUB GROUP INC CL A COMMON STOCK USD.01 |
493,098 | |||||||||||
HUB GROUP INC CL A COMMON STOCK USD.01 |
1,128,564 | |||||||||||
HUMAN GENOME SCIENCES INC COMMON STOCK USD.01 |
210,127 | |||||||||||
HUNG POO REAL ESTATE DEVELOP COMMON STOCK TWD10. |
116,971 | |||||||||||
HUNTINGTON AUTO TRUST HUNT 2009 1A A3 144A |
6/17/2013 | 3.94 | % | 58,782 | ||||||||
HUNTINGTON AUTO TRUST HUNT 2009 1A A4 144A |
1/15/2014 | 5.73 | % | 4,068,085 | ||||||||
HUNTINGTON INGALLS INDUSTRIE COMMON STOCK USD.01 |
356,686 | |||||||||||
HURON CONSULTING GROUP INC COMMON STOCK USD.01 |
4,161,412 | |||||||||||
HYATT HOTELS CORP CL A COMMON STOCK USD.01 |
685,048 | |||||||||||
HYUNDAI AUTO RECEIVABLES TRUST HART 2009 A A3 |
8/15/2013 | 2.03 | % | 236,661 | ||||||||
HYUNDAI AUTO RECEIVABLES TRUST HART 2009 A A4 |
3/15/2016 | 3.15 | % | 3,727,504 | ||||||||
HYUNDAI AUTO RECEIVABLES TRUST HART 2010 B A3 |
4/15/2015 | 0.97 | % | 1,563,263 | ||||||||
HYUNDAI AUTO RECEIVABLES TRUST HART 2010 B A4 |
3/15/2017 | 1.63 | % | 1,215,745 | ||||||||
HYUNDAI DEPT STORE CO COMMON STOCK KRW5000. |
146,445 | |||||||||||
IAC/INTERACTIVECORP COMMON STOCK USD.001 |
840,668 | |||||||||||
IAMGOLD CORP COMMON STOCK NPV |
1,402,725 | |||||||||||
IBM CORP 10/14 FIXED 0.875 |
10/31/2014 | 0.88 | % | 5,001,800 | ||||||||
IBM CORP SR UNSECURED 07/16 1.95 |
7/22/2016 | 1.95 | % | 1,068,269 | ||||||||
IBM CORP SR UNSECURED 08/13 1. |
8/5/2013 | 1.00 | % | 4,143,366 | ||||||||
IBM CORP SR UNSECURED 10/13 6.5 |
10/15/2013 | 6.50 | % | 330,839 |
- 83 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
IDACORP INC COMMON STOCK NPV |
803,500 | |||||||||||
IDEXX LABORATORIES INC COMMON STOCK USD.1 |
541,875 | |||||||||||
IG GROUP HOLDINGS PLC COMMON STOCK GBP.00005 |
128,960 | |||||||||||
IGUATEMI EMP DE SHOPPING COMMON STOCK NPV |
165,379 | |||||||||||
IHS INC CLASS A COMMON STOCK USD.01 |
1,465,409 | |||||||||||
IHS INC CLASS A COMMON STOCK USD.01 |
2,375,087 | |||||||||||
IINET LTD COMMON STOCK NPV |
250,487 | |||||||||||
ILIAD SA COMMON STOCK NPV |
926,112 | |||||||||||
ILLINOIS ST ILS 01/13 FIXED 3.321 |
1/1/2013 | 3.32 | % | 1,395,562 | ||||||||
ILLINOIS ST ILS 01/13 FIXED 3.321 |
1/1/2013 | 3.32 | % | 8,997,032 | ||||||||
ILLINOIS ST ILS 01/15 FIXED 4.421 |
1/1/2015 | 4.42 | % | 9,570,024 | ||||||||
ILLINOIS ST ILS 03/18 FIXED 5.665 |
3/1/2018 | 5.67 | % | 1,607,063 | ||||||||
ILLINOIS ST ILS 03/19 FIXED 5.877 |
3/1/2019 | 5.88 | % | 1,679,605 | ||||||||
ILLINOIS ST ILS 06/23 FIXED OID 4.95 |
6/1/2023 | 4.95 | % | 296,232 | ||||||||
ILLINOIS ST ILS 06/33 FIXED 5.1 |
6/1/2033 | 5.10 | % | 4,563,400 | ||||||||
ILLUMINA INC COMMON STOCK USD.01 |
1,743,060 | |||||||||||
ILUKA RESOURCES LTD COMMON STOCK NPV |
269,664 | |||||||||||
IMMUNOGEN INC COMMON STOCK USD.01 |
1,005,144 | |||||||||||
IMPAC CMB TRUST IMM 2004 9 1A1 |
1/25/2035 | 1.05 | % | 391,203 | ||||||||
IMPAC SECURED ASSETS CORP. IMSA 2005 2 A1 |
3/25/2036 | 0.61 | % | 1,653,181 | ||||||||
IMPAC SECURED ASSETS CORP. IMSA 2006 2 2A1 |
8/25/2036 | 0.64 | % | 521,738 | ||||||||
IMPALA PLATINUM SPON ADR ADR |
272,093 | |||||||||||
IMPAX LABORATORIES INC COMMON STOCK USD.01 |
665,792 | |||||||||||
IMPAX LABORATORIES INC COMMON STOCK USD.01 |
1,040,772 | |||||||||||
IMPERIAL TOBACCO GROUP PLC COMMON STOCK GBP.1 |
1,582,340 | |||||||||||
INCHCAPE PLC COMMON STOCK GBP.1 |
130,089 | |||||||||||
INCYTE CORP COMMON STOCK USD.001 |
1,431,579 | |||||||||||
INDYMAC INDA MORTGAGE LOAN TRU INDA 2007 AR7 1A1 |
11/25/2037 | 5.74 | % | 519,896 | ||||||||
INFORMA PLC COMMON STOCK GBP.001 |
441,819 | |||||||||||
INFORMATICA CORP COMMON STOCK USD.001 |
708,687 | |||||||||||
INFORMATICA CORP COMMON STOCK USD.001 |
1,569,525 | |||||||||||
ING GROEP NV CVA DUTCH CERT EUR.24 |
1,702,854 | |||||||||||
INGENEX INC SER B PFD |
| |||||||||||
INGENICO COMMON STOCK EUR1. |
346,501 | |||||||||||
INGERSOLL RAND GL HLD CO COMPANY GUAR 04/14 9.5 |
4/15/2014 | 9.50 | % | 581,186 | ||||||||
INGRAM MICRO INC CL A COMMON STOCK USD.01 |
1,711,061 | |||||||||||
INPHI CORP COMMON STOCK |
1,580,873 | |||||||||||
INPHI CORP COMMON STOCK |
789,838 | |||||||||||
INTEGRATED DEVICE TECH INC COMMON STOCK USD.001 |
1,051,077 | |||||||||||
INTEL CORP COMMON STOCK USD.001 |
13,786,489 | |||||||||||
INTEL CORP COMMON STOCK USD.001 |
3,294,848 | |||||||||||
INTEL CORP SR UNSECURED 10/16 1.95 |
10/1/2016 | 1.95 | % | 514,009 | ||||||||
INTERFACE INC CLASS A COMMON STOCK USD.1 |
1,083,779 | |||||||||||
INTERNATIONAL PAPER CO 02/22 FIXED 4.75 |
2/15/2022 | 4.75 | % | 2,869,970 | ||||||||
INTERNATIONAL PERSONAL FINAN COMMON STOCK GBP.1 |
171,266 | |||||||||||
INTERPUBLIC GROUP COS SR UNSECURED 07/17 10. |
7/15/2017 | 10.00 | % | 6,597,938 | ||||||||
INTERPUBLIC GROUP OF COS INC COMMON STOCK USD.1 |
2,388,715 | |||||||||||
INTERPUMP GROUP SPA COMMON STOCK EUR.52 |
207,712 | |||||||||||
INTESA SANPAOLO COMMON STOCK EUR.52 |
222,141 | |||||||||||
INTESA SANPAOLO SPA NOTES 144A 02/14 VAR |
2/24/2014 | 2.91 | % | 2,025,026 | ||||||||
INTESA SANPAOLO SPA SENIOR NOTES 144A 08/15 3.625 |
8/12/2015 | 3.63 | % | 1,242,570 |
- 84 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
INTESA SANPAOLO SPA SR UNSECURED 144A 02/21 6.5 |
2/24/2021 | 6.50 | % | 10,422,979 | ||||||||
INTL BUSINESS MACHINES CORP COMMON STOCK USD.2 |
8,566,418 | |||||||||||
INTL BUSINESS MACHINES CORP COMMON STOCK USD.2 |
13,335,897 | |||||||||||
INTL BUSINESS MACHINES CORP COMMON STOCK USD.2 |
7,232,000 | |||||||||||
INTL BUSINESS MACHINES CORP COMMON STOCK USD.2 |
7,611,713 | |||||||||||
INTL LEASE FINANCE CORP SR SECURED 144A 09/14 6.5 |
9/1/2014 | 6.50 | % | 2,402,875 | ||||||||
INTL PAPER CO SR UNSECURED 06/18 7.95 |
6/15/2018 | 7.95 | % | 4,035,114 | ||||||||
INTL PAPER CO SR UNSECURED 06/18 7.95 |
6/15/2018 | 7.95 | % | 1,363,296 | ||||||||
INTRUM JUSTITIA AB COMMON STOCK NPV |
386,657 | |||||||||||
INTUIT INC COMMON STOCK USD.01 |
2,491,188 | |||||||||||
INTUIT INC COMMON STOCK USD.01 |
15,795,301 | |||||||||||
INTUIT INC SR UNSECURED 03/12 5.4 |
3/15/2012 | 5.40 | % | 201,690 | ||||||||
IOWA STUDENT LN LIQUIDITY CORP 06/42 0 |
6/25/2042 | 0.00 | % | 1,414,815 | ||||||||
IPC THE HOSPITALIST CO COMMON STOCK USD.001 |
2,404,415 | |||||||||||
IPG PHOTONICS CORP COMMON STOCK USD.0001 |
231,027 | |||||||||||
IREN SPA COMMON STOCK EUR1. |
121,545 | |||||||||||
IRONWOOD PHARMACEUTICALS INC COMMON STOCK USD.001 |
754,110 | |||||||||||
ISUZU MOTORS LTD COMMON STOCK |
1,124,357 | |||||||||||
ITC HOLDINGS CORP COMMON STOCK NPV |
1,547,952 | |||||||||||
ITOCHU CORP COMMON STOCK |
976,738 | |||||||||||
IVANHOE MINES LTD COMMON STOCK NPV |
2,075,273 | |||||||||||
IVANHOE MINES LTD COMMON STOCK NPV |
528,340 | |||||||||||
J + J SNACK FOODS CORP COMMON STOCK NPV |
1,387,145 | |||||||||||
J2 GLOBAL INC COMMON STOCK USD.01 |
1,319,485 | |||||||||||
JACK HENRY + ASSOCIATES INC COMMON STOCK USD.01 |
2,557,721 | |||||||||||
JACKSON NATL LIFE GLOBAL SR SECURED 144A 05/12 6.125 |
5/30/2012 | 6.13 | % | 285,250 | ||||||||
JACOBS ENGINEERING GROUP INC COMMON STOCK USD1. |
1,817,984 | |||||||||||
JAMES HARDIE INDUSTRIES CDI RECEIPT EUR.59 |
153,171 | |||||||||||
JAPAN STEEL WORKS UNSPON ADR ADR |
429,415 | |||||||||||
JARDEN CORP COMMON STOCK USD.01 |
2,414,304 | |||||||||||
JETBLUE AIRWAYS CORP SR UNSECURED 10/39 6.75 |
10/15/2039 | 6.75 | % | 383,240 | ||||||||
JM SMUCKER CO/THE COMMON STOCK NPV |
352,547 | |||||||||||
JM SMUCKER CO/THE COMMON STOCK NPV |
(5,511 | ) | ||||||||||
JOHN BEAN TECHNOLOGIES CORP COMMON STOCK USD.01 |
869,711 | |||||||||||
JOHN DEERE CAPITAL CORP SENIOR NOTES 03/14 1.6 |
3/3/2014 | 1.60 | % | 3,557,512 | ||||||||
JOHN DEERE CAPITAL CORP SENIOR NOTES 03/14 1.6 |
3/3/2014 | 1.60 | % | 4,192,782 | ||||||||
JOHN DEERE CAPITAL CORP SR UNSECURED 06/13 1.875 |
6/17/2013 | 1.88 | % | 1,903,860 | ||||||||
JOHN DEERE CAPITAL CORP SR UNSECURED 06/13 1.875 |
6/17/2013 | 1.88 | % | 483,601 | ||||||||
JOHN DEERE CAPITAL CORP SR UNSECURED 06/16 2.25 |
6/7/2016 | 2.25 | % | 904,033 | ||||||||
JOHN DEERE CAPITAL CORP SR UNSECURED 06/16 2.25 |
6/7/2016 | 2.25 | % | 611,249 | ||||||||
JOHN DEERE OWNER TRUST JDOT 2009 A A4 |
5/16/2016 | 3.96 | % | 1,699,297 | ||||||||
JOHN DEERE OWNER TRUST JDOT 2011 A A3 |
1/15/2016 | 1.29 | % | 306,679 | ||||||||
JOHNSON & JOHNSON SR UNSECURED 05/14 1.2 |
5/15/2014 | 1.20 | % | 5,828,585 | ||||||||
JOHNSON & JOHNSON SR UNSECURED 07/18 5.15 |
7/15/2018 | 5.15 | % | 1,829,175 | ||||||||
JOHNSON + JOHNSON COMMON STOCK USD1. |
7,479,399 | |||||||||||
JOHNSON + JOHNSON COMMON STOCK USD1. |
9,746,500 | |||||||||||
JOHNSON + JOHNSON COMMON STOCK USD1. |
13,270,113 | |||||||||||
JOHNSON + JOHNSON COMMON STOCK USD1. |
5,149,210 | |||||||||||
JOHNSON CONTROLS INC COMMON STOCK USD.01388 |
9,579,627 | |||||||||||
JOHNSON CONTROLS INC COMMON STOCK USD.01388 |
2,973,139 | |||||||||||
JOHNSON CONTROLS INC SR UNSECURED 02/14 VAR |
2/4/2014 | 0.84 | % | 354,774 |
- 85 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
JOHNSON CONTROLS INC SR UNSECURED 03/14 1.75 |
3/1/2014 | 1.75 | % | 630,403 | ||||||||
JOHNSON CONTROLS INC SR UNSECURED 03/14 1.75 |
3/1/2014 | 1.75 | % | 403,458 | ||||||||
JOHNSON CONTROLS INC SR UNSECURED 09/13 4.875 |
9/15/2013 | 4.88 | % | 408,040 | ||||||||
JONES GROUP INC/THE COMMON STOCK USD.01 |
1,355,306 | |||||||||||
JONES LANG LASALLE INC COMMON STOCK USD.01 |
1,843,926 | |||||||||||
JOS A BANK CLOTHIERS INC COMMON STOCK USD.01 |
1,282,388 | |||||||||||
JOY GLOBAL INC COMMON STOCK USD1. |
604,858 | |||||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2004 C1 A2 |
1/15/2038 | 4.30 | % | 128,821 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 CB12 A3A2 |
9/12/2037 | 4.93 | % | 4,089,428 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 CB12 AM |
9/12/2037 | 4.95 | % | 291,168 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 CB13 A3A1 |
1/12/2043 | 5.28 | % | 509,821 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP2 AM |
7/15/2042 | 4.78 | % | 776,311 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP2 ASB |
7/15/2042 | 4.66 | % | 310,065 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP4 A4 |
10/15/2042 | 4.92 | % | 1,081,902 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP4 AM |
10/15/2042 | 5.00 | % | 1,714,797 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP5 A2 |
12/15/2044 | 5.20 | % | 3,823,989 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2005 LDP5 A4 |
12/15/2044 | 5.21 | % | 4,424,800 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 CB14 A4 |
12/12/2044 | 5.48 | % | 2,174,964 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 CB14 ASB |
12/12/2044 | 5.51 | % | 3,141,745 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 CB15 ASB |
6/12/2043 | 5.79 | % | 2,302,603 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP6 AM |
4/15/2043 | 5.53 | % | 1,526,947 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP7 ASB |
4/15/2045 | 5.87 | % | 2,150,694 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2006 LDP8 A4 |
5/15/2045 | 5.40 | % | 165,256 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 LD11 A2 |
6/15/2049 | 5.80 | % | 4,026,433 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 LD11 A2 |
6/15/2049 | 5.80 | % | 5,487,022 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 LD12 A2 |
2/15/2051 | 5.83 | % | 2,941,196 | ||||||||
JP MORGAN CHASE COMMERCIAL MOR JPMCC 2007 LDPX A2S |
1/15/2049 | 5.31 | % | 7,193,166 | ||||||||
JP MORGAN MORTGAGE TRUST JPMMT 2004 A3 1A1 |
7/25/2034 | 2.54 | % | 1,236,426 | ||||||||
JP MORGAN MORTGAGE TRUST JPMMT 2005 A1 6T1 |
2/25/2035 | 5.02 | % | 1,869,027 | ||||||||
JP MORGAN MORTGAGE TRUST JPMMT 2006 A1 2A2 |
1,923,442 | |||||||||||
JPM CHASE CAPITAL XXI LIMITD GUARA 01/87 VAR |
1/15/2087 | 1.38 | % | 2,057,736 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 01/14 2.05 |
1/24/2014 | 2.05 | % | 8,286,260 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 01/15 3.7 |
1/20/2015 | 3.70 | % | 7,164,323 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 01/18 6. |
1/15/2018 | 6.00 | % | 3,904,877 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 01/18 6. |
1/15/2018 | 6.00 | % | 1,852,027 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 03/16 3.45 |
3/1/2016 | 3.45 | % | 23,163,728 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 03/20 4.95 |
3/25/2020 | 4.95 | % | 212,574 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 04/19 6.3 |
4/23/2019 | 6.30 | % | 226,527 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 05/13 4.75 |
5/1/2013 | 4.75 | % | 6,377,032 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 07/20 4.4 |
7/22/2020 | 4.40 | % | 862,928 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 08/21 4.35 |
8/15/2021 | 4.35 | % | 2,989,325 | ||||||||
JPMORGAN CHASE & CO SR UNSECURED 10/20 4.25 |
10/15/2020 | 4.25 | % | 5,236,520 | ||||||||
JPMORGAN CHASE & CO SUBORDINATED 01/13 5.75 |
1/2/2013 | 5.75 | % | 3,630,690 | ||||||||
JPMORGAN CHASE & CO SUBORDINATED 06/17 6.125 |
6/27/2017 | 6.13 | % | 5,605,436 | ||||||||
JPMORGAN CHASE & CO SUBORDINATED 09/14 5.125 |
9/15/2014 | 5.13 | % | 906,699 | ||||||||
JPMORGAN CHASE & CO SUBORDINATED 09/14 5.125 |
9/15/2014 | 5.13 | % | 210,860 | ||||||||
JPMORGAN CHASE & CO SUBORDINATED 10/15 5.15 |
10/1/2015 | 5.15 | % | 3,279,664 | ||||||||
JPMORGAN CHASE & CO SUBORDINATED 10/15 5.15 |
10/1/2015 | 5.15 | % | 445,780 | ||||||||
JPMORGAN CHASE + CO COMMON STOCK USD1. |
14,294,175 | |||||||||||
JPMORGAN CHASE + CO COMMON STOCK USD1. |
8,468,110 | |||||||||||
JPMORGAN CHASE + CO COMMON STOCK USD1. |
3,628,972 |
- 86 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
JSE LTD COMMON STOCK ZAR.001 |
178,525 | |||||||||||
JULIUS BAER EMERG NKT EQ II COLLECTIVE INV FUND |
29,291,524 | |||||||||||
JUMBO SA COMMON STOCK EUR1.4 |
55,249 | |||||||||||
JUNGHEINRICH PRFD PREFERENCE |
149,980 | |||||||||||
JUNIPER NETWORKS INC COMMON STOCK USD.00001 |
302,068 | |||||||||||
JUNIPER NETWORKS INC COMMON STOCK USD.00001 |
3,804,383 | |||||||||||
JYOTHY LABORATORIES LTD COMMON STOCK INR1. |
153,114 | |||||||||||
JYSKE BANK REG COMMON STOCK DKK10. |
125,599 | |||||||||||
KADANT INC COMMON STOCK USD.01 |
1,542,364 | |||||||||||
KAKAKU.COM INC COMMON STOCK |
4,133,603 | |||||||||||
KALBE FARMA TBK PT COMMON STOCK IDR50. |
51,745 | |||||||||||
KANSAS CITY SOUTHERN COMMON STOCK USD.01 |
2,795,211 | |||||||||||
KANSAS CITY SOUTHERN COMMON STOCK USD.01 |
1,931,484 | |||||||||||
KAYDON CORP COMMON STOCK USD.1 |
1,646,512 | |||||||||||
KBR INC COMMON STOCK USD.001 |
334,719 | |||||||||||
KCP&L GREATER MISSOURI SR UNSECURED 07/12 11.875 |
7/1/2012 | 11.88 | % | 152,266 | ||||||||
KDDI CORP COMMON STOCK |
817,065 | |||||||||||
KEIYO BANK LTD/THE COMMON STOCK |
207,980 | |||||||||||
KELLOGG CO COMMON STOCK USD.25 |
1,721,909 | |||||||||||
KERR MCGEE CORP COMPANY GUAR 07/24 6.95 |
7/1/2024 | 6.95 | % | 2,528,384 | ||||||||
KERR MCGEE CORP COMPANY GUAR 09/31 7.875 |
9/15/2031 | 7.88 | % | 12,534 | ||||||||
KEY BANK NA SUBORDINATED 07/14 5.8 |
7/1/2014 | 5.80 | % | 533,841 | ||||||||
KEY BANK NA SUBORDINATED 08/12 5.7 |
8/15/2012 | 5.70 | % | 3,888,692 | ||||||||
KEY ENERGY SERVICES INC COMMON STOCK USD.1 |
2,232,321 | |||||||||||
KEY ENERGY SERVICES INC COMMON STOCK USD.1 |
1,713,689 | |||||||||||
KEYCORP SR UNSECURED 03/21 5.1 |
3/24/2021 | 5.10 | % | 327,115 | ||||||||
KEYCORP SR UNSECURED 05/13 6.5 |
5/14/2013 | 6.50 | % | 597,767 | ||||||||
KIMBERLY CLARK CORP SR UNSECURED 08/13 5. |
8/15/2013 | 5.00 | % | 330,725 | ||||||||
KINDER MORGAN ENER PART SR UNSECURED 02/17 6. |
2/1/2017 | 6.00 | % | 2,903,005 | ||||||||
KINDER MORGAN ENER PART SR UNSECURED 02/17 6. |
2/1/2017 | 6.00 | % | 396,122 | ||||||||
KINDER MORGAN ENER PART SR UNSECURED 03/12 7.125 |
3/15/2012 | 7.13 | % | 773,742 | ||||||||
KINDER MORGAN ENER PART SR UNSECURED 03/12 7.125 |
3/15/2012 | 7.13 | % | 141,600 | ||||||||
KINDER MORGAN ENER PART SR UNSECURED 12/13 5. |
12/15/2013 | 5.00 | % | 667,764 | ||||||||
KINDER MORGAN ENER PART SR UNSECURED 12/13 5. |
12/15/2013 | 5.00 | % | 95,395 | ||||||||
KINGBOARD LAMINATES HOLDING COMMON STOCK HKD.1 |
130,041 | |||||||||||
KINGDEE INTERNATIONAL SFTWR COMMON STOCK HKD.025 |
104,949 | |||||||||||
KINGSGATE CONSOLIDATED LTD COMMON STOCK NPV |
133,182 | |||||||||||
KINROSS GOLD CORP COMMON STOCK NPV |
245,758 | |||||||||||
KINROSS GOLD CORP COMMON STOCK NPV |
2,631,844 | |||||||||||
KINTETSU WORLD EXPRESS INC COMMON STOCK |
422,147 | |||||||||||
KIRBY CORP COMMON STOCK USD.1 |
1,601,031 | |||||||||||
KIRBY CORP COMMON STOCK USD.1 |
1,178,536 | |||||||||||
KISSEI PHARMACEUTICAL CO LTD COMMON STOCK |
86,522 | |||||||||||
KOHLS CORP COMMON STOCK USD.01 |
1,204,634 | |||||||||||
KOMATSU LTD COMMON STOCK |
2,361,567 | |||||||||||
KOREA INVESTMENT HOLDINGS CO COMMON STOCK KRW5000. |
271,363 | |||||||||||
KOREAN REINSURANCE CO COMMON STOCK KRW500. |
244,792 | |||||||||||
KRAFT FOODS INC CLASS A COMMON STOCK NPV |
3,589,437 | |||||||||||
KRAFT FOODS INC SR UNSECURED 02/13 6. |
2/11/2013 | 6.00 | % | 579,446 | ||||||||
KRAFT FOODS INC SR UNSECURED 02/13 6. |
2/11/2013 | 6.00 | % | 505,699 | ||||||||
KRAFT FOODS INC SR UNSECURED 02/16 4.125 |
2/9/2016 | 4.13 | % | 304,004 |
- 87 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
KRAFT FOODS INC SR UNSECURED 02/18 6.125 |
2/1/2018 | 6.13 | % | 339,927 | ||||||||
KRAFT FOODS INC SR UNSECURED 02/20 5.375 |
2/10/2020 | 5.38 | % | 3,784,631 | ||||||||
KRAFT FOODS INC SR UNSECURED 02/20 5.375 |
2/10/2020 | 5.38 | % | 1,067,312 | ||||||||
KRAFT FOODS INC SR UNSECURED 05/13 2.625 |
5/8/2013 | 2.63 | % | 5,848,815 | ||||||||
KRATON PERFORMANCE POLYMERS COMMON STOCK USD.01 |
1,029,413 | |||||||||||
KROGER CO COMMON STOCK USD1. |
1,615,111 | |||||||||||
KROGER CO/THE COMPANY GUAR 01/14 7.5 |
1/15/2014 | 7.50 | % | 296,158 | ||||||||
KROGER CO/THE COMPANY GUAR 04/12 6.75 |
4/15/2012 | 6.75 | % | 1,670,367 | ||||||||
KROGER CO/THE COMPANY GUAR 04/38 6.9 |
4/15/2038 | 6.90 | % | 5,169,370 | ||||||||
L OCCITANE INTERNATIONAL SA COMMON STOCK EUR.03 |
421,192 | |||||||||||
LAM RESEARCH CORP COMMON STOCK USD.001 |
935,014 | |||||||||||
LAM RESEARCH CORP COMMON STOCK USD.001 |
936,606 | |||||||||||
LAMAR ADVERTISING CO A COMMON STOCK USD.001 |
1,430,000 | |||||||||||
LANCASHIRE HOLDINGS LTD COMMON STOCK USD.5 |
292,746 | |||||||||||
LANDESBK BADEN WURTT NY SUBORDINATED 04/12 6.35 |
4/1/2012 | 6.35 | % | 2,728,361 | ||||||||
LAREDO PETROLEUM HOLDINGS IN COMMON STOCK USD.01 |
1,170,750 | |||||||||||
LAS VEGAS SANDS CORP COMMON STOCK USD.001 |
13,036,923 | |||||||||||
LASALLE HOTEL PROPERTIES REIT USD.01 |
860,666 | |||||||||||
LASALLE HOTEL PROPERTIES REIT USD.01 |
1,899,202 | |||||||||||
LAYNE CHRISTENSEN COMPANY COMMON STOCK USD.01 |
1,355,902 | |||||||||||
LAZARD LTD CL A LTD PART USD.01 |
1,785,924 | |||||||||||
LAZARD LTD CL A LTD PART USD.01 |
1,268,946 | |||||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2004 C2 A4 |
3/15/2036 | 4.37 | % | 713,583 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2005 C7 AM |
11/15/2040 | 5.26 | % | 707,652 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C1 A2 |
2/15/2031 | 5.08 | % | 674,694 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C6 A4 |
9/15/2039 | 5.37 | % | 787,009 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2006 C7 AM |
11/15/2038 | 5.38 | % | 3,085,186 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C1 A2 |
2/15/2040 | 5.32 | % | 2,187,055 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C6 A2 |
7/15/2040 | 5.85 | % | 3,034,675 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C6 A4 |
7/15/2040 | 5.86 | % | 1,643,096 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C7 A3 |
9/15/2045 | 5.87 | % | 8,165,728 | ||||||||
LB UBS COMMERCIAL MORTGAGE TRU LBUBS 2007 C7 AAB |
9/15/2045 | 5.71 | % | 2,493,573 | ||||||||
LEASEPLAN CORPORATION NV GOVT LIQUID 144A 05/12 3. |
5/7/2012 | 3.00 | % | 70,535 | ||||||||
LEASEPLAN CORPORATION NV GOVT LIQUID 144A 05/12 3. |
5/7/2012 | 3.00 | % | 20,153 | ||||||||
LEHMAN BROS CAP TR VII LIMITD GUARA 11/49 VAR |
12/31/2049 | 5.86 | % | 287 | ||||||||
LEHMAN BROTHERS HOLDINGS JR SUBORDINA 07/17 6.5 |
7/19/2017 | 6.50 | % | 205 | ||||||||
LEHMAN BROTHERS HOLDINGS SR UNSECURED 05/18 6.875 |
5/2/2018 | 6.88 | % | 1,987,500 | ||||||||
LEHMAN BROTHERS HOLDINGS SUBORDINATED 12/17 6.75 |
12/28/2017 | 6.75 | % | 676 | ||||||||
LEHMAN BROTHERS HOLDINGS SUBORDINATED 12/17 6.75 |
12/28/2017 | 6.75 | % | 558 | ||||||||
LEHMAN BROTHERS HOLDINGS SUBORDINATED 12/17 6.75 |
12/28/2017 | 6.75 | % | 30 | ||||||||
LEHMAN XS TRUST LXS 2005 5N 1A1 |
11/25/2035 | 0.59 | % | 1,727,867 | ||||||||
LEHMAN XS TRUST LXS 2006 14N 3A2 |
8/25/2036 | 0.41 | % | 1,336,932 | ||||||||
LI + FUNG LTD COMMON STOCK HKD.0125 |
942,961 | |||||||||||
LIBERTY DEV CORP NY REVENUE LBTDEV 10/35 FIXED 5.25 |
10/1/2035 | 5.25 | % | 513,005 | ||||||||
LIBERTY MUTUAL GROUP SR UNSECURED 144A 03/14 5.75 |
3/15/2014 | 5.75 | % | 2,815,552 | ||||||||
LIFE TECHNOLOGIES CORP COMMON STOCK USD.01 |
565,168 | |||||||||||
LIFE TECHNOLOGIES CORP SR UNSECURED 01/21 5. |
1/15/2021 | 5.00 | % | 1,097,622 | ||||||||
LIFEPOINT HOSPITALS INC COMMON STOCK USD.01 |
438,593 | |||||||||||
LINEAR TECHNOLOGY CORP COMMON STOCK USD.001 |
2,093,091 | |||||||||||
LINEAR TECHNOLOGY CORP COMMON STOCK USD.001 |
1,315,314 | |||||||||||
LINKEDIN CORP A COMMON STOCK |
1,913,803 |
- 88 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
LKQ CORP COMMON STOCK USD.01 |
1,205,757 | |||||||||||
LLOYDS TSB BANK PLC BANK GUARANT 01/16 4.875 |
1/21/2016 | 4.88 | % | 935,601 | ||||||||
LLOYDS TSB BANK PLC BANK GUARANT 01/21 6.375 |
1/21/2021 | 6.38 | % | 2,465,252 | ||||||||
LLOYDS TSB BANK PLC BANK GUARANT 144A 01/15 4.375 |
1/12/2015 | 4.38 | % | 21,563,494 | ||||||||
LLOYDS TSB BANK PLC BANK GUARANT 144A 01/20 5.8 |
1/13/2020 | 5.80 | % | 370,257 | ||||||||
LLOYDS TSB BANK PLC BANK GUARANT 144A 01/20 5.8 |
1/13/2020 | 5.80 | % | 3,607,636 | ||||||||
LOCKHEED MARTIN CORP COMMON STOCK USD1. |
12,537,073 | |||||||||||
LOEWS CORP COMMON STOCK USD.01 |
1,285,823 | |||||||||||
LONZA GROUP AG REG COMMON STOCK CHF1.0 |
155,265 | |||||||||||
LORILLARD TOBACCO CO COMPANY GUAR 08/16 3.5 |
8/4/2016 | 3.50 | % | 2,634,913 | ||||||||
LOS ANGELES CA DEPARTMENT OF W LOSUTL 07/45 FIXED 6.574 |
7/1/2045 | 6.57 | % | 1,294,931 | ||||||||
LOS ANGELES CA DEPT OF ARPTS LOSAPT 05/35 FIXED 5 |
5/15/2035 | 5.00 | % | 343,510 | ||||||||
LOS ANGELES CA DEPT OF ARPTS LOSAPT 05/39 FIXED OID 5.25 |
5/15/2039 | 5.25 | % | 281,432 | ||||||||
LOWES COMPANIES INC 11/21 FIXED 3.8 |
11/15/2021 | 3.80 | % | 3,717,760 | ||||||||
LPL INVESTMENT HOLDINGS INC COMMON STOCK |
602,524 | |||||||||||
LUFKIN INDUSTRIES INC COMMON STOCK USD1. |
1,610,055 | |||||||||||
LULULEMON ATHLETICA INC COMMON STOCK USD.01 |
3,346,549 | |||||||||||
LVMH MOET HENNESSY LOUIS VUI COMMON STOCK EUR.3 |
3,227,208 | |||||||||||
M & T BANK CORPORATION SR UNSECURED 05/12 5.375 |
5/24/2012 | 5.38 | % | 147,029 | ||||||||
M3 INC COMMON STOCK |
1,763,413 | |||||||||||
M3 INC COMMON STOCK |
53,052 | |||||||||||
MACQUARIE GROUP LTD SR UNSECURED 144A 08/14 7.3 |
8/1/2014 | 7.30 | % | 489,318 | ||||||||
MAGELLAN HEALTH SERVICES INC COMMON STOCK USD.01 |
1,484,100 | |||||||||||
MAGELLAN HEALTH SERVICES INC COMMON STOCK USD.01 |
1,949,860 | |||||||||||
MAGNUM HUNTER RESOURCES CORP COMMON STOCK USD.01 |
1,224,931 | |||||||||||
MAGNUM HUNTER RESOURCES WTS EXP 14OCT2013 |
| |||||||||||
MAIDENFORM BRANDS INC COMMON STOCK USD.01 |
451,992 | |||||||||||
MANITOWOC COMPANY INC COMMON STOCK USD.01 |
1,433,640 | |||||||||||
MANULIFE FINANCIAL CORP SR UNSECURED 09/15 3.4 |
9/17/2015 | 3.40 | % | 5,958,044 | ||||||||
MAP GROUP DFD SYD AIRPORT MISC. NPV |
575,066 | |||||||||||
MARATHON OIL CORP COMMON STOCK USD1. |
3,465,568 | |||||||||||
MARATHON PETROLEUM CORP COMMON STOCK |
1,315,787 | |||||||||||
MARKETAXESS HOLDINGS INC COMMON STOCK USD.003 |
1,868,326 | |||||||||||
MARVELL TECHNOLOGY GROUP LTD COMMON STOCK USD.002 |
6,593,985 | |||||||||||
MASIMO CORPORATION COMMON STOCK USD.001 |
469,330 | |||||||||||
MASSMUTUAL GLOBAL FUNDIN SR SECURED 144A 07/12 3.625 |
7/16/2012 | 3.63 | % | 1,457,544 | ||||||||
MASSMUTUTAL GLOB FNDG II SR SECURED 144A 07/18 5.25 |
7/31/2018 | 5.25 | % | 2,558,198 | ||||||||
MASTERCARD INC CLASS A COMMON STOCK USD.0001 |
7,847,861 | |||||||||||
MASTERCARD INC CLASS A COMMON STOCK USD.0001 |
2,087,792 | |||||||||||
MASTERCARD INC CLASS A COMMON STOCK USD.0001 |
10,113,115 | |||||||||||
MASTR ADJUSTABLE RATE MORTGAGE MARM 2003 6 3A1 |
12/25/2033 | 2.77 | % | 1,342,382 | ||||||||
MASTR ADJUSTABLE RATE MORTGAGE MARM 2007 3 12A1 |
5/25/2047 | 0.49 | % | 3,815,428 | ||||||||
MASTR ALTERNATIVE LOANS TRUST MALT 2004 8 7A1 |
9/25/2019 | 5.00 | % | 468,237 | ||||||||
MASTR ASSET BACKED SECURITIES MABS 2006 HE4 A2 |
11/25/2036 | 0.37 | % | 2,535,327 | ||||||||
MASTR ASSET SECURITIZATION TRU MASTR 2003 11 6A16 |
12/25/2033 | 5.25 | % | 1,503,004 | ||||||||
MASTR REPERFORMING LOAN TRUST MARP 2005 1 1A1 144A |
8/25/2034 | 6.00 | % | 136,706 | ||||||||
MATTHEWS INTL CORP CLASS A COMMON STOCK USD1. |
1,364,533 | |||||||||||
MAXIM INTEGRATED PRODUCTS COMMON STOCK USD.001 |
2,327,455 | |||||||||||
MAXIM INTEGRATED PRODUCTS COMMON STOCK USD.001 |
1,390,145 | |||||||||||
MAXIM INTEGRATED PRODUCTS COMMON STOCK USD.001 |
1,782,698 | |||||||||||
MAXIMUS INC COMMON STOCK NPV |
2,309,770 |
- 89 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
MCDONALD S CORP COMMON STOCK USD.01 |
371,221 | |||||||||||
MCDONALD S CORP SR UNSECURED 03/18 5.35 |
3/1/2018 | 5.35 | % | 3,835,623 | ||||||||
MCKESSON CORP COMMON STOCK USD.01 |
4,852,624 | |||||||||||
MCKESSON CORP COMMON STOCK USD.01 |
1,324,470 | |||||||||||
MCKESSON CORP SR UNSECURED 03/17 5.7 |
3/1/2017 | 5.70 | % | 1,516,683 | ||||||||
MEAD JOHNSON NUTRITION CO COMMON STOCK USD.01 |
4,071,222 | |||||||||||
MEADOWBROOK INSURANCE GROUP COMMON STOCK USD.01 |
1,762,552 | |||||||||||
MEDA AB A SHS COMMON STOCK NPV |
200,534 | |||||||||||
MEDICINES COMPANY COMMON STOCK USD.001 |
2,553,680 | |||||||||||
MEDICIS PHARMACEUTICAL CL A COMMON STOCK USD.014 |
944,034 | |||||||||||
MEDNAX INC COMMON STOCK USD.01 |
2,310,369 | |||||||||||
MEDNAX INC COMMON STOCK USD.01 |
2,037,883 | |||||||||||
MEDNAX INC COMMON STOCK USD.01 |
1,620,225 | |||||||||||
MEDNAX INC COMMON STOCK USD.01 |
1,849,577 | |||||||||||
MEDTRONIC INC COMMON STOCK USD.1 |
4,131,765 | |||||||||||
MEDTRONIC INC COMMON STOCK USD.1 |
4,754,093 | |||||||||||
MEDTRONIC INC SR UNSECURED 03/20 4.45 |
3/15/2020 | 4.45 | % | 1,275,125 | ||||||||
MEDTRONIC INC SR UNSECURED 03/20 4.45 |
3/15/2020 | 4.45 | % | 180,549 | ||||||||
MEDUSA MINING LTD COMMON STOCK NPV |
130,505 | |||||||||||
MELLON FUNDING CORP COMPANY GUAR 12/14 5. |
12/1/2014 | 5.00 | % | 161,670 | ||||||||
MEN S WEARHOUSE INC/THE COMMON STOCK USD.01 |
1,367,702 | |||||||||||
MEN S WEARHOUSE INC/THE COMMON STOCK USD.01 |
1,732,120 | |||||||||||
MERCANTILE BANKSHARES SUBORDINATED 04/13 4.625 |
4/15/2013 | 4.63 | % | 3,126,177 | ||||||||
MERCEDES BENZ AUTO RECEIVABLES MBART 2009 1 A3 |
1/15/2014 | 1.67 | % | 2,553,341 | ||||||||
MERCEDES BENZ AUTO RECEIVABLES MBART 2010 1 A3 |
8/15/2014 | 1.42 | % | 617,878 | ||||||||
MERCK & CO INC SR UNSECURED 01/21 3.875 |
1/15/2021 | 3.88 | % | 1,480,385 | ||||||||
MERCK & CO INC SR UNSECURED 09/17 6. |
9/15/2017 | 6.00 | % | 4,094,633 | ||||||||
MERCK & CO INC SR UNSECURED 09/17 6. |
9/15/2017 | 6.00 | % | 563,931 | ||||||||
MERCK & CO INC SR UNSECURED 12/13 5.3 |
12/1/2013 | 5.30 | % | 2,125,126 | ||||||||
MERCK + CO. INC. COMMON STOCK USD.5 |
11,572,958 | |||||||||||
MERCK + CO. INC. COMMON STOCK USD.5 |
9,125,285 | |||||||||||
MERCK + CO. INC. COMMON STOCK USD.5 |
2,235,233 | |||||||||||
MEREDITH CORP COMMON STOCK USD1. |
1,841,787 | |||||||||||
MERIT SECURITIES CORPORATION MESC 13 A4 |
12/28/2033 | 7.91 | % | 2,639,391 | ||||||||
MERRILL AUTO TRUST SECURITIZAT MATS 2008 1 A4A |
4/15/2015 | 6.15 | % | 123,815 | ||||||||
MERRILL LYNCH & CO SR UNSECURED 01/15 5. |
1/15/2015 | 5.00 | % | 3,949,690 | ||||||||
MERRILL LYNCH & CO SR UNSECURED 02/14 5. |
2/3/2014 | 5.00 | % | 4,034,141 | ||||||||
MERRILL LYNCH & CO SR UNSECURED 04/18 6.875 |
4/25/2018 | 6.88 | % | 23,070,973 | ||||||||
MERRILL LYNCH & CO SR UNSECURED 08/12 6.05 |
8/15/2012 | 6.05 | % | 2,775,511 | ||||||||
MERRILL LYNCH & CO SR UNSECURED 08/17 6.4 |
8/28/2017 | 6.40 | % | 12,491,122 | ||||||||
MERRILL LYNCH & CO SUBORDINATED 05/16 6.05 |
5/16/2016 | 6.05 | % | 5,358,448 | ||||||||
MERRILL LYNCH & CO SUBORDINATED 05/16 6.05 |
5/16/2016 | 6.05 | % | 735,196 | ||||||||
MERRILL LYNCH MORTGAGE INVESTO MLMI 2005 A4 1A |
7/25/2035 | 2.63 | % | 1,351,268 | ||||||||
MERRILL LYNCH MORTGAGE INVESTO MLMI 2005 A5 A3 |
6/25/2035 | 2.61 | % | 8,826,630 | ||||||||
MERRILL LYNCH MORTGAGE INVESTO MLMI 2007 SD1 A1 |
2/25/2047 | 0.74 | % | 2,539,193 | ||||||||
MERRILL LYNCH MORTGAGE TRUST MLMT 2005 CKI1 A6 |
11/12/2037 | 5.22 | % | 553,672 | ||||||||
MERRILL LYNCH MORTGAGE TRUST MLMT 2005 LC1 AM |
1/12/2044 | 5.27 | % | 284,373 | ||||||||
MERRILL LYNCH MORTGAGE TRUST MLMT 2006 C1 A4 |
5/12/2039 | 5.67 | % | 7,471,498 | ||||||||
MERRILL LYNCH MORTGAGE TRUST MLMT 2006 C1 A4 |
5/12/2039 | 5.67 | % | 3,903,022 | ||||||||
MERRILL LYNCH MORTGAGE TRUST MLMT 2006 C1 AM |
5/12/2039 | 5.67 | % | 320,036 | ||||||||
MERRILL LYNCH MORTGAGE TRUST MLMT 2008 C1 A2 |
2/12/2051 | 5.43 | % | 1,006,682 |
- 90 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
MERRILL LYNCH/COUNTRYWIDE COMM MLCFC 2006 1 AM |
2/12/2039 | 5.48 | % | 204,162 | ||||||||
MERRILL LYNCH/COUNTRYWIDE COMM MLCFC 2006 4 AM |
12/12/2049 | 5.20 | % | 3,532,135 | ||||||||
MERRILL LYNCH/COUNTRYWIDE COMM MLCFC 2007 6 A4 |
3/12/2051 | 5.49 | % | 2,398,113 | ||||||||
MERU NETWORKS INC COMMON STOCK |
117,569 | |||||||||||
MET ATLANTA GA RAPID TRANSIT A METTRN 07/39 FIXED 5 |
7/1/2039 | 5.00 | % | 234,263 | ||||||||
MET LIFE GLOB FUNDING I SR SECURED 144A 04/13 5.125 |
4/10/2013 | 5.13 | % | 3,008,543 | ||||||||
MET LIFE GLOB FUNDING I SR SECURED 144A 09/15 2.5 |
9/29/2015 | 2.50 | % | 2,162,352 | ||||||||
METLIFE INC COMMON STOCK USD.01 |
9,845,085 | |||||||||||
METLIFE INC COMMON STOCK USD.01 |
6,121,881 | |||||||||||
METLIFE INC JR SUBORDINA 12/66 6.4 |
12/15/2066 | 6.40 | % | 4,698,141 | ||||||||
METLIFE INC SR UNSECURED 02/14 2.375 |
2/6/2014 | 2.38 | % | 4,780,788 | ||||||||
METLIFE INC SR UNSECURED 02/14 2.375 |
2/6/2014 | 2.38 | % | 4,538,454 | ||||||||
METLIFE INC SR UNSECURED 02/14 2.375 |
2/6/2014 | 2.38 | % | 623,581 | ||||||||
METLIFE INC SR UNSECURED 02/19 7.717 |
2/15/2019 | 7.72 | % | 852,683 | ||||||||
MICHAEL KORS HOLDINGS LTD COMMON STOCK NPV |
931,950 | |||||||||||
MICHAEL KORS HOLDINGS LTD COMMON STOCK NPV |
62,675 | |||||||||||
MICROCHIP TECHNOLOGY INC COMMON STOCK USD.001 |
1,417,764 | |||||||||||
MICROS SYSTEMS INC COMMON STOCK USD.0125 |
1,530,991 | |||||||||||
MICROS SYSTEMS INC COMMON STOCK USD.0125 |
1,481,244 | |||||||||||
MICROSEMI CORP COMMON STOCK USD.2 |
793,314 | |||||||||||
MICROSOFT CORP COMMON STOCK USD.006.25 |
12,315,164 | |||||||||||
MICROSOFT CORP COMMON STOCK USD.006.25 |
38,614,514 | |||||||||||
MICROSOFT CORP COMMON STOCK USD.006.25 |
16,139,332 | |||||||||||
MICROSOFT CORP SR UNSECURED 02/16 2.5 |
2/8/2016 | 2.50 | % | 520,265 | ||||||||
MICROSOFT CORP SR UNSECURED 06/14 2.95 |
6/1/2014 | 2.95 | % | 5,375,096 | ||||||||
MICROSOFT CORP SR UNSECURED 09/13 0.875 |
9/27/2013 | 0.88 | % | 5,043,425 | ||||||||
MICROSOFT CORP SR UNSECURED 10/20 3. |
10/1/2020 | 3.00 | % | 1,393,654 | ||||||||
MID AMERICA APARTMENT COMM REIT USD.01 |
1,284,777 | |||||||||||
MIDAMERICAN ENERGY HLDGS SR UNSECURED 04/18 5.75 |
4/1/2018 | 5.75 | % | 7,177,924 | ||||||||
MIDAMERICAN ENERGY HLDGS SR UNSECURED 04/18 5.75 |
4/1/2018 | 5.75 | % | 1,909,882 | ||||||||
MIDDLEBY CORP COMMON STOCK USD.01 |
945,760 | |||||||||||
MILLS ESTRUTURAS E SERVICOS COMMON STOCK NPV |
170,808 | |||||||||||
MINERAL DEPOSITS LTD COMMON STOCK NPV |
185,801 | |||||||||||
MINERALS TECHNOLOGIES INC COMMON STOCK USD.1 |
1,709,467 | |||||||||||
MIRABELA NICKEL LTD COMMON STOCK NPV |
139,993 | |||||||||||
MITSUBISHI CORP COMMON STOCK |
871,075 | |||||||||||
MITSUBISHI ELECTRIC CORP COMMON STOCK |
796,127 | |||||||||||
MITSUI + CO LTD COMMON STOCK |
252,033 | |||||||||||
MIZRAHI TEFAHOT BANK LTD COMMON STOCK ILS.1 |
319,916 | |||||||||||
MLCC MORTGAGE INVESTORS, INC. MLCC 2005 1 2A1 |
4/25/2035 | 2.06 | % | 946,344 | ||||||||
MLCC MORTGAGE INVESTORS, INC. MLCC 2005 1 2A2 |
4/25/2035 | 2.06 | % | 1,858,250 | ||||||||
MLCC MORTGAGE INVESTORS, INC. MLCC 2005 2 3A |
10/25/2035 | 1.25 | % | 863,478 | ||||||||
MMCA AUTOMOBILE TRUST MMCA 2009 A A3 144A |
3/15/2013 | 3.93 | % | 441,446 | ||||||||
MODERN TIMES GROUP B SHS COMMON STOCK NPV |
206,240 | |||||||||||
MOHAWK INDUSTRIES INC COMMON STOCK USD.01 |
1,280,790 | |||||||||||
MOHAWK INDUSTRIES INC COMMON STOCK USD.01 |
921,690 | |||||||||||
MOLSON COORS BREWING CO B COMMON STOCK USD.01 |
343,966 | |||||||||||
MONEYGRAM INTERNATIONAL INC COMMON STOCK USD.01 |
937,081 | |||||||||||
MONOLITHIC POWER SYSTEMS INC COMMON STOCK USD.001 |
1,395,181 | |||||||||||
MONSANTO CO COMMON STOCK USD.01 |
3,205,632 | |||||||||||
MONSANTO CO COMMON STOCK USD.01 |
6,583,077 |
- 91 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
MONSANTO CO COMMON STOCK USD.01 |
3,468,465 | |||||||||||
MONSANTO CO COMMON STOCK USD.01 |
7,371,574 | |||||||||||
MONSANTO CO SR UNSECURED 04/16 2.75 |
4/15/2016 | 2.75 | % | 104,959 | ||||||||
MOODY S CORP COMMON STOCK USD.01 |
1,494,382 | |||||||||||
MOOG INC CLASS A COMMON STOCK USD1. |
1,974,214 | |||||||||||
MORGAN STANLEY CAPITAL I MSC 2004 HQ4 A7 |
4/14/2040 | 4.97 | % | 5,279,355 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2006 HQ8 A4 |
3/12/2044 | 5.42 | % | 3,285,615 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2006 IQ11 A4 |
10/15/2042 | 5.73 | % | 2,373,993 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2006 IQ12 A4 |
12/15/2043 | 5.33 | % | 1,341,301 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2006 IQ12 A4 |
12/15/2043 | 5.33 | % | 4,247,454 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2007 HQ13 A1 |
12/15/2044 | 5.36 | % | 4,954,649 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2007 IQ14 A2 |
4/15/2049 | 5.61 | % | 3,286,638 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2007 IQ14 A2 |
4/15/2049 | 5.61 | % | 3,796,066 | ||||||||
MORGAN STANLEY CAPITAL I MSC 2007 IQ16 A4 |
12/12/2049 | 5.81 | % | 5,326,716 | ||||||||
MORGAN STANLEY CAPITAL INC MSAC 2005 HE1 M1 |
12/25/2034 | 0.74 | % | 2,413,613 | ||||||||
MORGAN STANLEY COMMON STOCK USD.01 |
9,947,975 | |||||||||||
MORGAN STANLEY COMMON STOCK USD.01 |
2,599,304 | |||||||||||
MORGAN STANLEY DEAN WITTER CAP MSDWC 2003 HQ2 A1 |
3/12/2035 | 4.18 | % | 146,039 | ||||||||
MORGAN STANLEY FDIC GUARANT 03/12 2.25 |
3/13/2012 | 2.25 | % | 7,908,996 | ||||||||
MORGAN STANLEY FDIC GUARANT 03/12 2.25 |
3/13/2012 | 2.25 | % | 16,057,020 | ||||||||
MORGAN STANLEY NOTES 01/12 5.625 |
1/9/2012 | 5.63 | % | 765,117 | ||||||||
MORGAN STANLEY REREMIC TRUST MSRR 2010 C30A A3A 144A |
12/17/2043 | 3.25 | % | 1,597,786 | ||||||||
MORGAN STANLEY REREMIC TRUST MSRR 2010 HQ4B A7A 144A |
4/16/2040 | 4.97 | % | 1,000,229 | ||||||||
MORGAN STANLEY SR UNSECURED 01/12 VAR |
1/9/2012 | 0.64 | % | 944,981 | ||||||||
MORGAN STANLEY SR UNSECURED 01/14 2.875 |
1/24/2014 | 2.88 | % | 7,340,518 | ||||||||
MORGAN STANLEY SR UNSECURED 01/15 4.1 |
1/26/2015 | 4.10 | % | 1,884,174 | ||||||||
MORGAN STANLEY SR UNSECURED 01/15 4.1 |
1/26/2015 | 4.10 | % | 498,333 | ||||||||
MORGAN STANLEY SR UNSECURED 01/21 5.75 |
1/25/2021 | 5.75 | % | 2,332,015 | ||||||||
MORGAN STANLEY SR UNSECURED 01/21 5.75 |
1/25/2021 | 5.75 | % | 93,281 | ||||||||
MORGAN STANLEY SR UNSECURED 03/13 5.3 |
3/1/2013 | 5.30 | % | 3,340,392 | ||||||||
MORGAN STANLEY SR UNSECURED 03/13 5.3 |
3/1/2013 | 5.30 | % | 7,085,680 | ||||||||
MORGAN STANLEY SR UNSECURED 04/12 6.6 |
4/1/2012 | 6.60 | % | 403,327 | ||||||||
MORGAN STANLEY SR UNSECURED 04/13 VAR |
4/29/2013 | 1.41 | % | 21,769,024 | ||||||||
MORGAN STANLEY SR UNSECURED 04/15 6. |
4/28/2015 | 6.00 | % | 2,123,689 | ||||||||
MORGAN STANLEY SR UNSECURED 04/16 3.8 |
4/29/2016 | 3.80 | % | 1,105,577 | ||||||||
MORGAN STANLEY SR UNSECURED 04/18 6.625 |
4/1/2018 | 6.63 | % | 987,443 | ||||||||
MORGAN STANLEY SR UNSECURED 05/14 6. |
5/13/2014 | 6.00 | % | 3,029,145 | ||||||||
MORGAN STANLEY SR UNSECURED 05/14 6. |
5/13/2014 | 6.00 | % | 8,214,032 | ||||||||
MORGAN STANLEY SR UNSECURED 05/14 6. |
5/13/2014 | 6.00 | % | 2,180,984 | ||||||||
MORGAN STANLEY SR UNSECURED 07/14 2.875 |
7/28/2014 | 2.88 | % | 5,085,509 | ||||||||
MORGAN STANLEY SR UNSECURED 07/21 5.5 |
7/28/2021 | 5.50 | % | 4,160,858 | ||||||||
MORGAN STANLEY SR UNSECURED 08/17 6.25 |
8/28/2017 | 6.25 | % | 2,544,477 | ||||||||
MORGAN STANLEY SR UNSECURED 09/19 5.625 |
9/23/2019 | 5.63 | % | 1,157,599 | ||||||||
MORGAN STANLEY SR UNSECURED 10/16 5.75 |
10/18/2016 | 5.75 | % | 2,045,234 | ||||||||
MORGAN STANLEY SR UNSECURED 10/16 VAR |
10/18/2016 | 0.85 | % | 633,917 | ||||||||
MORGAN STANLEY SR UNSECURED 11/14 4.2 |
11/20/2014 | 4.20 | % | 2,946,367 | ||||||||
MORGAN STANLEY SR UNSECURED 11/14 4.2 |
11/20/2014 | 4.20 | % | 786,019 | ||||||||
MORGAN STANLEY SR UNSECURED 12/17 5.95 |
12/28/2017 | 5.95 | % | 14,386,314 | ||||||||
MORGAN STANLEY SUBORDINATED 04/14 4.75 |
4/1/2014 | 4.75 | % | 1,108,223 | ||||||||
MORGAN STANLEY SUBORDINATED 04/14 4.75 |
4/1/2014 | 4.75 | % | 2,029,279 | ||||||||
MORGAN STANLEY SUBORDINATED 04/14 4.75 |
4/1/2014 | 4.75 | % | 305,377 |
- 92 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
MOTOROLA SOLUTIONS INC COMMON STOCK USD.01 |
2,675,562 | |||||||||||
MSC INDUSTRIAL DIRECT CO A COMMON STOCK USD.001 |
1,122,548 | |||||||||||
MUFG CAPITAL FINANCE 1 LIMITED 07/29 VAR |
7/29/2049 | 6.35 | % | 1,188,300 | ||||||||
MULTIPLUS SA COMMON STOCK NPV |
138,319 | |||||||||||
MUNI ELEC AUTH OF GEORGIA MELPWR 04/57 FIXED 6.637 |
4/1/2057 | 6.64 | % | 928,127 | ||||||||
MUNI ELEC AUTH OF GEORGIA MELPWR 04/57 FIXED 6.637 |
4/1/2057 | 6.64 | % | 126,563 | ||||||||
MUNI ELEC AUTH OF GEORGIA MELPWR 04/57 FIXED 6.655 |
4/1/2057 | 6.66 | % | 500,814 | ||||||||
MUNI ELEC AUTH OF GEORGIA MELPWR 04/57 FIXED 6.655 |
4/1/2057 | 6.66 | % | 71,545 | ||||||||
MURRAY + ROBERTS SPON ADR ADR |
382,972 | |||||||||||
MYLAN INC COMMON STOCK USD.5 |
2,819,308 | |||||||||||
MYRIAD GENETICS INC COMMON STOCK USD.01 |
1,317,126 | |||||||||||
NAGAILEBEN CO LTD COMMON STOCK |
118,104 | |||||||||||
NASDAQ OMX GROUP SR UNSECURED 01/15 4. |
1/15/2015 | 4.00 | % | 512,340 | ||||||||
NASDAQ OMX GROUP/THE COMMON STOCK USD.01 |
2,210,802 | |||||||||||
NATIONAL AUSTRALIA BANK SENIOR NOTES 144A 12/13 1.7 |
12/10/2013 | 1.70 | % | 5,486,846 | ||||||||
NATIONAL AUSTRALIA BANK SR UNSECURED 144A 01/13 2.5 |
1/8/2013 | 2.50 | % | 728,704 | ||||||||
NATIONAL AUSTRALIA BANK SR UNSECURED 144A 04/14 2.25 |
4/11/2014 | 2.25 | % | 300,246 | ||||||||
NATIONAL FINANCIAL PARTNERS COMMON STOCK USD.1 |
1,611,381 | |||||||||||
NATIONAL GRID PLC COMMON STOCK GBP.139535 |
584,148 | |||||||||||
NATIONAL INSTRUMENTS CORP COMMON STOCK USD.01 |
1,068,076 | |||||||||||
NATIONAL INSTRUMENTS CORP COMMON STOCK USD.01 |
1,297,500 | |||||||||||
NATIONAL RETAIL PROPERTIES REIT USD.01 |
1,722,878 | |||||||||||
NATIONAL RURAL UTIL COOP COLLATERAL T 11/13 1.125 |
11/1/2013 | 1.13 | % | 3,257,397 | ||||||||
NATIONAL RURAL UTIL COOP SR UNSECURED 03/12 7.25 |
3/1/2012 | 7.25 | % | 674,014 | ||||||||
NATIONAL SEMICONDUCTOR SR UNSECURED 04/15 3.95 |
4/15/2015 | 3.95 | % | 896,562 | ||||||||
NCUA GUARANTEED NOTES NGN 2010 C1 A1 |
10/29/2020 | 1.60 | % | 1,914,213 | ||||||||
NCUA GUARANTEED NOTES NGN 2010 C1 A1 |
10/29/2020 | 1.60 | % | 13,472,070 | ||||||||
NCUA GUARANTEED NOTES NGN 2010 R3 3A |
12/8/2020 | 2.40 | % | 984,733 | ||||||||
NESTLE SA REG COMMON STOCK CHF.1 |
3,975,534 | |||||||||||
NESTLE SA SPONS ADR FOR REG ADR |
4,342,678 | |||||||||||
NETAPP INC COMMON STOCK USD.001 |
2,720,794 | |||||||||||
NETEASE.COM INC ADR ADR USD.0001 |
4,240,568 | |||||||||||
NETIA SA COMMON STOCK PLN1. |
107,885 | |||||||||||
NEUSTAR INC CLASS A COMMON STOCK USD.001 |
2,016,030 | |||||||||||
NEW YORK LIFE GLOBAL FDG 07/16 FIXED 2.45 |
7/14/2016 | 2.45 | % | 512,357 | ||||||||
NEW YORK LIFE GLOBAL FDG SR SECURED 144A 05/15 3. |
5/4/2015 | 3.00 | % | 209,463 | ||||||||
NEWCREST MINING LTD COMMON STOCK NPV |
2,379,607 | |||||||||||
NEWPARK RESOURCES INC COMMON STOCK USD.01 |
1,203,603 | |||||||||||
NEWS AMERICA INC COMPANY GUAR 02/21 4.5 |
2/15/2021 | 4.50 | % | 429,889 | ||||||||
NEWS AMERICA INC COMPANY GUAR 02/25 8.5 |
2/23/2025 | 8.50 | % | 1,301,332 | ||||||||
NEWS AMERICA INC COMPANY GUAR 03/19 6.9 |
3/1/2019 | 6.90 | % | 2,338,839 | ||||||||
NEWS AMERICA INC COMPANY GUAR 10/15 7.6 |
10/11/2015 | 7.60 | % | 433,274 | ||||||||
NEWS AMERICA INC COMPANY GUAR 11/37 6.65 |
11/15/2037 | 6.65 | % | 124,623 | ||||||||
NEWS AMERICA INC COMPANY GUAR 12/34 6.2 |
12/15/2034 | 6.20 | % | 53,752 | ||||||||
NEXEN INC COMMON STOCK NPV |
1,887,069 | |||||||||||
NEXTERA ENERGY CAPITAL COMPANY GUAR 11/13 2.55 |
11/15/2013 | 2.55 | % | 4,333,907 | ||||||||
NICE SYSTEMS LTD SPONS ADR ADR |
1,606,059 | |||||||||||
NICE SYSTEMS LTD SPONS ADR ADR |
2,342,600 | |||||||||||
NIHON M+A CENTER INC COMMON STOCK |
255,699 | |||||||||||
NIHON PARKERIZING CO LTD COMMON STOCK |
216,168 | |||||||||||
NIKE INC CL B COMMON STOCK NPV |
8,309,792 |
- 93 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
NIPPON DENKO CO LTD COMMON STOCK |
235,196 | |||||||||||
NIPPON SHOKUBAI CO LTD COMMON STOCK |
343,956 | |||||||||||
NIPPON THOMPSON CO LTD COMMON STOCK |
325,344 | |||||||||||
NISOURCE FINANCE CORP COMPANY GUAR 03/13 6.15 |
3/1/2013 | 6.15 | % | 687,878 | ||||||||
NISOURCE FINANCE CORP COMPANY GUAR 03/13 6.15 |
3/1/2013 | 6.15 | % | 1,074,349 | ||||||||
NISOURCE FINANCE CORP COMPANY GUAR 03/16 10.75 |
3/15/2016 | 10.75 | % | 221,283 | ||||||||
NISSAN AUTO RECEIVABLES OWNER NAROT 2009 1 A3 |
9/15/2014 | 5.00 | % | 103,917 | ||||||||
NISSAN AUTO RECEIVABLES OWNER NAROT 2009 A A3 |
2/15/2013 | 3.20 | % | 89,989 | ||||||||
NISSAN AUTO RECEIVABLES OWNER NAROT 2009 A A4 |
8/17/2015 | 4.74 | % | 1,039,491 | ||||||||
NISSAN MOTOR ACCEPTANCE SR UNSECURED 144A 01/13 3.25 |
1/30/2013 | 3.25 | % | 567,221 | ||||||||
NISSAN MOTOR CO LTD COMMON STOCK |
1,553,267 | |||||||||||
NITTO DENKO CORP COMMON STOCK |
164,653 | |||||||||||
NOBLE ENERGY INC 12/21 FIXED 4.15 |
12/15/2021 | 4.15 | % | 3,424,172 | ||||||||
NOBLE ENERGY INC 12/21 FIXED 4.15 |
12/15/2021 | 4.15 | % | 579,316 | ||||||||
NOMURA ASSET ACCEPTANCE CORPOR NAA 2004 R1 A1 144A |
3/25/2034 | 6.50 | % | 689,694 | ||||||||
NOMURA ASSET ACCEPTANCE CORPOR NAA 2004 R2 A1 144A |
10/25/2034 | 6.50 | % | 742,922 | ||||||||
NOMURA ASSET SECURITIES CORPOR NASC 1998 D6 A4 |
3/15/2030 | 7.65 | % | 1,795,254 | ||||||||
NOMURA HOLDINGS INC SR UNSECURED 01/16 4.125 |
1/19/2016 | 4.13 | % | 209,814 | ||||||||
NOMURA HOLDINGS INC SR UNSECURED 03/15 5. |
3/4/2015 | 5.00 | % | 649,496 | ||||||||
NORDEA BANK AB SR UNSECURED 144A 10/13 1.75 |
10/4/2013 | 1.75 | % | 4,186,081 | ||||||||
NORFOLK SOUTHERN CORP SR UNSECURED 06/19 5.9 |
6/15/2019 | 5.90 | % | 1,275,837 | ||||||||
NORTH CAROLINA STATE EDUCATION NCSEA 2011 2 A2 |
7/25/2025 | 1.22 | % | 7,538,856 | ||||||||
NORTHEAST UTILITIES SR UNSECURED 06/13 5.65 |
6/1/2013 | 5.65 | % | 241,131 | ||||||||
NORTHERN OIL AND GAS INC COMMON STOCK USD.001 |
1,342,880 | |||||||||||
NORTHERN OIL AND GAS INC COMMON STOCK USD.001 |
761,125 | |||||||||||
NORTHERN TRUST CORP COMMON STOCK USD1.667 |
355,314 | |||||||||||
NORTHERN TRUST CORP SR UNSECURED 05/14 4.625 |
5/1/2014 | 4.63 | % | 812,098 | ||||||||
NORTHERN TRUST CORP SR UNSECURED 08/13 5.5 |
8/15/2013 | 5.50 | % | 319,054 | ||||||||
NORTHERN TRUST CORP SR UNSECURED 11/12 5.2 |
11/9/2012 | 5.20 | % | 228,000 | ||||||||
NORTHROP GRUMMAN CORP COMMON STOCK USD1. |
3,995,354 | |||||||||||
NORTHROP GRUMMAN CORP SR UNSECURED 08/19 5.05 |
8/1/2019 | 5.05 | % | 1,198,400 | ||||||||
NORTHWEST NATURAL GAS CO COMMON STOCK USD3.167 |
1,299,382 | |||||||||||
NORTHWEST PIPE CO COMMON STOCK USD.01 |
905,828 | |||||||||||
NOVAGOLD RESOURCES INC COMMON STOCK NPV |
1,355,723 | |||||||||||
NOVARTIS AG ADR ADR |
3,298,709 | |||||||||||
NOVARTIS AG REG COMMON STOCK CHF.5 |
3,449,411 | |||||||||||
NOVARTIS CAPITAL CORP COMPANY GUAR 02/14 4.125 |
2/10/2014 | 4.13 | % | 6,366,042 | ||||||||
NOVARTIS CAPITAL CORP COMPANY GUAR 02/14 4.125 |
2/10/2014 | 4.13 | % | 508,213 | ||||||||
NOVARTIS CAPITAL CORP COMPANY GUAR 04/13 1.9 |
4/24/2013 | 1.90 | % | 3,989,808 | ||||||||
NOVARTIS CAPITAL CORP COMPANY GUAR 04/15 2.9 |
4/24/2015 | 2.90 | % | 2,206,622 | ||||||||
NOVO NORDISK A/S B COMMON STOCK DKK1. |
4,083,236 | |||||||||||
NOVO NORDISK A/S SPONS ADR ADR |
5,758,735 | |||||||||||
NPS PHARMACEUTICALS INC COMMON STOCK USD.001 |
486,342 | |||||||||||
NUANCE COMMUNICATIONS INC COMMON STOCK USD.001 |
4,549,305 | |||||||||||
NUANCE COMMUNICATIONS INC COMMON STOCK USD.001 |
2,463,466 | |||||||||||
NUCOR CORP SR UNSECURED 12/12 5. |
12/1/2012 | 5.00 | % | 295,265 | ||||||||
NV ENERGY INC COMMON STOCK USD1. |
1,891,695 | |||||||||||
NVC LIGHTING HOLDINGS LTD COMMON STOCK USD.0000.1 |
156,561 | |||||||||||
NVIDIA CORP COMMON STOCK USD.001 |
1,218,294 | |||||||||||
OBIC CO LTD COMMON STOCK |
223,994 | |||||||||||
OCCIDENTAL PETROLEUM COR SR UNSECURED 02/21 4.1 |
2/1/2021 | 4.10 | % | 1,030,667 |
- 94 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
OCCIDENTAL PETROLEUM COR SR UNSECURED 02/22 3.125 |
2/15/2022 | 3.13 | % | 1,805,489 | ||||||||
OCCIDENTAL PETROLEUM CORP COMMON STOCK USD.2 |
8,737,525 | |||||||||||
OCCIDENTAL PETROLEUM CORP COMMON STOCK USD.2 |
6,103,618 | |||||||||||
OCCIDENTAL PETROLEUM CORP COMMON STOCK USD.2 |
3,855,380 | |||||||||||
OCEANEERING INTL INC COMMON STOCK USD.25 |
1,245,510 | |||||||||||
ODONTOPREV S.A. COMMON STOCK NPV |
102,678 | |||||||||||
OHIO POWER COMPANY SR UNSECURED 02/13 5.5 |
2/15/2013 | 5.50 | % | 277,413 | ||||||||
OHIO POWER COMPANY SR UNSECURED 06/16 6. |
6/1/2016 | 6.00 | % | 3,781,937 | ||||||||
OHIO ST HSG FIN AGY RSDL MTGE OHSHSG 09/17 FIXED OID 6.036 |
9/1/2017 | 6.04 | % | 1,404,295 | ||||||||
OHIO ST OHS 05/21 FIXED 4.534 |
5/1/2021 | 4.53 | % | 11,040,500 | ||||||||
OHIO ST OHS 05/22 FIXED 4.654 |
5/1/2022 | 4.65 | % | 11,055,200 | ||||||||
OIL STATES INTERNATIONAL INC COMMON STOCK USD.01 |
2,963,156 | |||||||||||
OKINAWA CELLULAR TELEPHONE COMMON STOCK |
221,003 | |||||||||||
OKINAWA ELECTRIC POWER CO COMMON STOCK |
225,942 | |||||||||||
OLD NATIONAL BANCORP COMMON STOCK NPV |
2,134,129 | |||||||||||
OMNICELL INC COMMON STOCK USD.001 |
840,472 | |||||||||||
OMNICOM GROUP COMMON STOCK USD.15 |
3,946,222 | |||||||||||
ONCOR ELECTRIC DELIVERY SR SECURED 01/15 6.375 |
1/15/2015 | 6.38 | % | 371,372 | ||||||||
ONEOK PARTNERS LP COMPANY GUAR 03/19 8.625 |
3/1/2019 | 8.63 | % | 1,636,702 | ||||||||
ONO PHARMACEUTICAL CO LTD COMMON STOCK |
606,395 | |||||||||||
ONTARIO (PROVINCE OF) SR UNSECURED 02/15 2.95 |
2/5/2015 | 2.95 | % | 1,021,514 | ||||||||
ONTARIO (PROVINCE OF) SR UNSECURED 06/15 2.7 |
6/16/2015 | 2.70 | % | 1,047,356 | ||||||||
ONYX PHARMACEUTICALS INC COMMON STOCK USD.001 |
2,060,156 | |||||||||||
ONYX PHARMACEUTICALS INC COMMON STOCK USD.001 |
2,250,240 | |||||||||||
OPNET TECHNOLOGIES INC COMMON STOCK USD.001 |
1,558,842 | |||||||||||
OPTION ONE MORTGAGE LOAN TRUST OOMLT 2004 3 M1 |
11/25/2034 | 0.81 | % | 2,171,635 | ||||||||
ORACLE CORP COMMON STOCK USD.01 |
14,129,379 | |||||||||||
ORACLE CORP COMMON STOCK USD.01 |
19,026,016 | |||||||||||
ORACLE CORP COMMON STOCK USD.01 |
6,855,989 | |||||||||||
ORACLE CORP COMMON STOCK USD.01 |
7,681,123 | |||||||||||
ORACLE CORP NT 3.875PCT20 07/20 FIXED 3.875 |
7/15/2020 | 3.88 | % | 214,805 | ||||||||
ORACLE CORP SR UNSECURED 01/16 5.25 |
1/15/2016 | 5.25 | % | 6,572,547 | ||||||||
ORACLE CORP SR UNSECURED 04/13 4.95 |
4/15/2013 | 4.95 | % | 3,036,138 | ||||||||
ORACLE CORP SR UNSECURED 04/18 5.75 |
4/15/2018 | 5.75 | % | 388,315 | ||||||||
ORACLE CORP SR UNSECURED 07/14 3.75 |
7/8/2014 | 3.75 | % | 5,974,269 | ||||||||
ORBITAL SCIENCES CORP COMMON STOCK USD.01 |
1,336,760 | |||||||||||
OSAKA SECURITIES EXCHANGE CO COMMON STOCK |
287,237 | |||||||||||
OVERSEAS PRIVATE INV COR BONDS 04/17 0.00000 |
4/23/2017 | 3.56 | % | 7,905,918 | ||||||||
OVERSEAS PRIVATE INV COR US GOVT GUAR 07/14 0.00000 |
7/12/2014 | 0.00 | % | 2,077,320 | ||||||||
OVERSEAS PRIVATE INV COR US GOVT GUAR 09/13 0.00000 |
9/20/2013 | 0.00 | % | 6,678,555 | ||||||||
OVERSEAS PRIVATE INV COR US GOVT GUAR 09/13 0.00000 |
9/20/2013 | 0.00 | % | 6,730,322 | ||||||||
OVERSEAS PRIVATE INV COR US GOVT GUAR 09/16 0.00000 |
9/7/2016 | 0.00 | % | 5,204,842 | ||||||||
OVERSEAS PRIVATE INV COR US GOVT GUAR 12/14 0.00000 |
12/14/2014 | 0.00 | % | 1,324,464 | ||||||||
OWENS ILLINOIS INC COMMON STOCK USD.01 |
2,976,090 | |||||||||||
P G + E CORP COMMON STOCK NPV |
3,430,741 | |||||||||||
PACCAR FINANCIAL CORP 09/14 FIXED 1.55 |
9/29/2014 | 1.55 | % | 202,353 | ||||||||
PACCAR INC SR UNSECURED 02/12 6.375 |
2/15/2012 | 6.38 | % | 397,437 | ||||||||
PACIFIC GAS & ELECTRIC SR UNSECURED 03/14 4.8 |
3/1/2014 | 4.80 | % | 1,073,971 | ||||||||
PACIFIC GAS & ELECTRIC SR UNSECURED 03/14 4.8 |
3/1/2014 | 4.80 | % | 510,136 | ||||||||
PACIFIC GAS & ELECTRIC SR UNSECURED 03/34 6.05 |
3/1/2034 | 6.05 | % | 495,136 | ||||||||
PACIFIC GAS & ELECTRIC SR UNSECURED 03/37 5.8 |
3/1/2037 | 5.80 | % | 1,035,234 |
- 95 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
PACIFIC GAS & ELECTRIC SR UNSECURED 10/18 8.25 |
10/15/2018 | 8.25 | % | 1,001,845 | ||||||||
PACIFIC GAS & ELECTRIC SR UNSECURED 10/18 8.25 |
10/15/2018 | 8.25 | % | 131,822 | ||||||||
PACIFIC LIFE GLOBAL FNDG SR SECURED 144A 04/13 5.15 |
4/15/2013 | 5.15 | % | 809,504 | ||||||||
PACIRA PHARMACEUTICALS INC COMMON STOCK |
238,740 | |||||||||||
PALL CORP COMMON STOCK USD.1 |
652,024 | |||||||||||
PAN AMERICAN SILVER CORP COMMON STOCK NPV |
138,614 | |||||||||||
PANERA BREAD COMPANY CLASS A COMMON STOCK USD.0001 |
902,592 | |||||||||||
PANERA BREAD COMPANY CLASS A COMMON STOCK USD.0001 |
912,353 | |||||||||||
PARAMETRIC TECHNOLOGY CORP COMMON STOCK USD.01 |
1,432,497 | |||||||||||
PARAMOUNT RESOURCES LTD A COMMON STOCK NPV |
446,600 | |||||||||||
PARTNERRE LTD COMMON STOCK USD1. |
1,785,038 | |||||||||||
PARTNERS GROUP HOLDING AG COMMON STOCK CHF.01 |
227,157 | |||||||||||
PATTERSON UTI ENERGY INC COMMON STOCK USD.01 |
601,438 | |||||||||||
PAYCHEX INC COMMON STOCK USD.01 |
1,786,727 | |||||||||||
PC FINANCIAL PARTNERSHIP COMPANY GUAR 11/14 5. |
11/15/2014 | 5.00 | % | 497,119 | ||||||||
PEARSON PLC COMMON STOCK GBP.25 |
346,494 | |||||||||||
PENNSYLVANIA HIGHER EDUCATION PHEAA 2005 1 B1 |
4/25/2045 | 2.29 | % | 3,191,876 | ||||||||
PENNSYLVANIA ST HGR EDU ASSIST PASSTD 05/46 ADJUSTABLE VAR |
5/1/2046 | 2.05 | % | 669,959 | ||||||||
PENNSYLVANIA ST HGR EDU ASSIST PASSTD 05/46 ADJUSTABLE VAR |
5/1/2046 | 1.28 | % | 7,604,282 | ||||||||
PEP BOYS MANNY MOE + JACK COMMON STOCK USD1. |
1,611,731 | |||||||||||
PEPSICO INC 08/14 FIXED 0.8 |
8/25/2014 | 0.80 | % | 332,722 | ||||||||
PEPSICO INC 08/14 FIXED 0.8 |
8/25/2014 | 0.80 | % | 2,597,826 | ||||||||
PEPSICO INC COMMON STOCK USD.017 |
6,731,208 | |||||||||||
PEPSICO INC COMMON STOCK USD.017 |
3,687,733 | |||||||||||
PEPSICO INC SR UNSECURED 01/20 4.5 |
1/15/2020 | 4.50 | % | 640,027 | ||||||||
PEPSICO INC SR UNSECURED 03/14 3.75 |
3/1/2014 | 3.75 | % | 1,063,253 | ||||||||
PEPSICO INC SR UNSECURED 06/18 5. |
6/1/2018 | 5.00 | % | 1,550,936 | ||||||||
PEPSICO INC SR UNSECURED 10/13 0.875 |
10/25/2013 | 0.88 | % | 2,165,600 | ||||||||
PEPSICO INC SR UNSECURED 11/18 7.9 |
11/1/2018 | 7.90 | % | 666,933 | ||||||||
PERKINELMER INC COMMON STOCK USD1. |
1,290,000 | |||||||||||
PERNOD RICARD SA 01/22 FIXED 4.45 |
1/15/2022 | 4.45 | % | 3,310,369 | ||||||||
PERRIGO CO COMMON STOCK NPV |
812,650 | |||||||||||
PETROBRAS ARGENTINA ADR ADR |
234,732 | |||||||||||
PETROBRAS INTL FIN CO COMPANY GUAR 03/18 5.875 |
3/1/2018 | 5.88 | % | 569,072 | ||||||||
PETROLEUM GEO SERVICES COMMON STOCK NOK3. |
48,254 | |||||||||||
PFIZER INC COMMON STOCK USD.05 |
13,218,794 | |||||||||||
PFIZER INC COMMON STOCK USD.05 |
16,683,358 | |||||||||||
PFIZER INC COMMON STOCK USD.05 |
9,471,828 | |||||||||||
PFIZER INC SR UNSECURED 03/15 5.35 |
3/15/2015 | 5.35 | % | 1,696,779 | ||||||||
PFIZER INC SR UNSECURED 03/19 6.2 |
3/15/2019 | 6.20 | % | 3,060,089 | ||||||||
PFIZER INC SR UNSECURED 03/19 6.2 |
3/15/2019 | 6.20 | % | 974,787 | ||||||||
PHARMASSET INC COMMON STOCK USD.001 |
5,461,320 | |||||||||||
PHILIP MORRIS INTERNATIONAL COMMON STOCK NPV |
14,394,802 | |||||||||||
PHILIP MORRIS INTL INC 11/21 FIXED 2.9 |
11/15/2021 | 2.90 | % | 2,885,324 | ||||||||
PHILIP MORRIS INTL INC SR UNSECURED 03/14 6.875 |
3/17/2014 | 6.88 | % | 849,404 | ||||||||
PHILIP MORRIS INTL INC SR UNSECURED 03/20 4.5 |
3/26/2020 | 4.50 | % | 1,068,287 | ||||||||
PHILIP MORRIS INTL INC SR UNSECURED 05/13 4.875 |
5/16/2013 | 4.88 | % | 6,014,954 | ||||||||
PHILIP MORRIS INTL INC SR UNSECURED 05/13 4.875 |
5/16/2013 | 4.88 | % | 6,742,024 | ||||||||
PHILIP MORRIS INTL INC SR UNSECURED 05/16 2.5 |
5/16/2016 | 2.50 | % | 2,471,341 | ||||||||
PHILIP MORRIS INTL INC SR UNSECURED 05/18 5.65 |
5/16/2018 | 5.65 | % | 266,135 | ||||||||
PHOENIX NEW MEDIA LTD ADS ADR |
849,929 |
- 96 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
PIER 1 IMPORTS INC COMMON STOCK USD.001 |
2,180,463 | |||||||||||
PIMCO GLOBAL ADVANTAGE STRATEGY COLLECTIVE TRUST |
151,094,004 | |||||||||||
PINNACLE ENTERTAINMENT INC COMMON STOCK USD.1 |
1,384,300 | |||||||||||
PIRAMAL HEALTHCARE LTD COMMON STOCK INR2. |
166,008 | |||||||||||
PITNEY BOWES INC SR UNSECURED 06/13 3.875 |
6/15/2013 | 3.88 | % | 103,342 | ||||||||
PITNEY BOWES INC SR UNSECURED 08/14 4.875 |
8/15/2014 | 4.88 | % | 255,195 | ||||||||
PNC FINANCIAL SERVICES GROUP COMMON STOCK USD5. |
2,688,575 | |||||||||||
PNC FUNDING CORP BANK GUARANT 02/15 3.625 |
2/8/2015 | 3.63 | % | 1,523,108 | ||||||||
PNC FUNDING CORP BANK GUARANT 05/14 3. |
5/19/2014 | 3.00 | % | 2,079,196 | ||||||||
PNC FUNDING CORP BANK GUARANT 06/14 5.4 |
6/10/2014 | 5.40 | % | 410,087 | ||||||||
PNC FUNDING CORP BANK GUARANT 06/19 6.7 |
6/10/2019 | 6.70 | % | 1,061,437 | ||||||||
PNC FUNDING CORP BANK GUARANT 08/20 4.375 |
8/11/2020 | 4.38 | % | 1,194,767 | ||||||||
POLYONE CORPORATION COMMON STOCK USD.01 |
1,748,751 | |||||||||||
POLYPORE INTERNATIONAL INC COMMON STOCK USD.01 |
656,727 | |||||||||||
POLYUS GOLD INTL SPN GDR GDR |
1,806,220 | |||||||||||
POOL CORP COMMON STOCK USD.001 |
656,361 | |||||||||||
PORT AUTH OF NEW YORK + NEW JE PORTRN 12/24 FIXED 5.859 |
12/1/2024 | 5.86 | % | 27,553,911 | ||||||||
PORTLAND GENERAL ELECTRIC CO COMMON STOCK NPV |
1,467,958 | |||||||||||
POTASH CORP OF SASKATCHEWAN COMMON STOCK NPV |
2,973,650 | |||||||||||
POTASH CORP SASKATCHEWAN SR UNSECURED 09/15 3.75 |
9/30/2015 | 3.75 | % | 241,230 | ||||||||
PPG INDUSTRIES INC COMMON STOCK USD1.67 |
4,177,005 | |||||||||||
PPG INDUSTRIES INC SR UNSECURED 01/16 1.9 |
1/15/2016 | 1.90 | % | 199,706 | ||||||||
PPG INDUSTRIES INC SR UNSECURED 03/13 5.75 |
3/15/2013 | 5.75 | % | 606,058 | ||||||||
PPG INDUSTRIES INC SR UNSECURED 03/18 6.65 |
3/15/2018 | 6.65 | % | 2,298,631 | ||||||||
PPG INDUSTRIES INC SR UNSECURED 03/18 6.65 |
3/15/2018 | 6.65 | % | 314,550 | ||||||||
PPL CORPORATION COMMON STOCK USD.01 |
1,247,114 | |||||||||||
PPL CORPORATION PREFERRED STOCK 07/13 9.5 |
686,151 | |||||||||||
PPR COMMON STOCK EUR4. |
1,187,762 | |||||||||||
PRAXAIR INC SR UNSECURED 11/14 5.25 |
11/15/2014 | 5.25 | % | 819,308 | ||||||||
PRECISION CASTPARTS CORP COMMON STOCK NPV |
15,416,105 | |||||||||||
PRECISION CASTPARTS CORP COMMON STOCK NPV |
9,271,580 | |||||||||||
PREMIER OIL PLC COMMON STOCK GBP.125 |
460,687 | |||||||||||
PRICELINE.COM INC COMMON STOCK USD.008 |
4,985,789 | |||||||||||
PRICELINE.COM INC COMMON STOCK USD.008 |
1,782,443 | |||||||||||
PRICELINE.COM INC COMMON STOCK USD.008 |
3,818,852 | |||||||||||
PRICOA GLOBAL FUNDING 1 SR SECURED 144A 09/13 5.3 |
9/27/2013 | 5.30 | % | 507,631 | ||||||||
PRICOA GLOBAL FUNDING 1 SR SECURED 144A 09/13 VAR |
9/27/2013 | 0.56 | % | 8,214,983 | ||||||||
PRIDE INTERNATIONAL INC COMPANY GUAR 08/20 6.875 |
8/15/2020 | 6.88 | % | 1,875,886 | ||||||||
PRIME MORTGAGE TRUST PRIME 2004 CL1 2A1 |
2/25/2019 | 5.00 | % | 181,015 | ||||||||
PRIME MORTGAGE TRUST PRIME 2005 2 1A1 |
7/25/2020 | 4.75 | % | 1,046,731 | ||||||||
PRINCIPAL LIFE INC FDG SR SECURED 04/13 5.3 |
4/24/2013 | 5.30 | % | 1,495,077 | ||||||||
PROASSURANCE CORP COMMON STOCK USD.01 |
1,676,220 | |||||||||||
PROASSURANCE CORP COMMON STOCK USD.01 |
1,900,514 | |||||||||||
PROCTER & GAMBLE CO/THE SR UNSECURED 08/14 0.7 |
8/15/2014 | 0.70 | % | 6,973,826 | ||||||||
PROCTER & GAMBLE CO/THE SR UNSECURED 08/16 1.45 |
8/15/2016 | 1.45 | % | 2,198,478 | ||||||||
PROCTER + GAMBLE CO/THE COMMON STOCK USD1. |
14,529,438 | |||||||||||
PROCTER + GAMBLE CO/THE COMMON STOCK USD1. |
1,541,668 | |||||||||||
PROCTER + GAMBLE CO/THE COMMON STOCK USD1. |
15,167,853 | |||||||||||
PROFARMA DISTRIBUIDORA COMMON STOCK NPV |
53,022 | |||||||||||
PROGRESS ENERGY INC SR UNSECURED 03/19 7.05 |
3/15/2019 | 7.05 | % | 4,174,095 | ||||||||
PROGRESSIVE WASTE SOLUTIONS COMMON STOCK |
189,856 |
- 97 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
PROLOGIS LP COMPANY GUAR 08/14 7.625 |
8/15/2014 | 7.63 | % | 2,628,614 | ||||||||
PROSEGUR COMP SEGURIDAD REGD COMMON STOCK EUR.6 |
135,980 | |||||||||||
PROSPERITY BANCSHARES INC COMMON STOCK USD1. |
2,389,527 | |||||||||||
PROSPERITY BANCSHARES INC COMMON STOCK USD1. |
1,709,831 | |||||||||||
PROTO CORP COMMON STOCK |
144,229 | |||||||||||
PRUDENTIAL FINANCIAL INC COMMON STOCK USD.01 |
4,434,116 | |||||||||||
PRUDENTIAL FINANCIAL INC SR UNSECURED 05/16 3. |
5/12/2016 | 3.00 | % | 1,644,086 | ||||||||
PRUDENTIAL FINANCIAL INC SR UNSECURED 06/12 5.8 |
6/15/2012 | 5.80 | % | 3,346,675 | ||||||||
PRUDENTIAL FINANCIAL INC SR UNSECURED 09/14 5.1 |
9/20/2014 | 5.10 | % | 5,947,825 | ||||||||
PRUDENTIAL FINANCIAL INC SR UNSECURED 11/20 4.5 |
11/15/2020 | 4.50 | % | 1,709,430 | ||||||||
PSEG POWER LLC 09/16 FIXED 2.75 |
9/15/2016 | 2.75 | % | 301,469 | ||||||||
PSEG POWER LLC COMPANY GUAR 04/13 2.5 |
4/15/2013 | 2.50 | % | 2,727,444 | ||||||||
PUBLIC SERVICE COLORADO 1ST MORTGAGE 10/12 7.875 |
10/1/2012 | 7.88 | % | 2,270,836 | ||||||||
PUBLIC SERVICE ENTERPRISE GP COMMON STOCK NPV |
1,066,883 | |||||||||||
PVH CORP COMMON STOCK USD1. |
1,832,740 | |||||||||||
PZ CUSSONS PLC COMMON STOCK GBP.01 |
31,004 | |||||||||||
QLIK TECHNOLOGIES INC COMMON STOCK |
1,979,149 | |||||||||||
QUADRA FNX MINING LTD COMMON STOCK NPV |
330,257 | |||||||||||
QUALCOMM INC COMMON STOCK USD.0001 |
11,105,741 | |||||||||||
QUALCOMM INC COMMON STOCK USD.0001 |
18,261,978 | |||||||||||
QUALCOMM INC COMMON STOCK USD.0001 |
19,210,640 | |||||||||||
QUALCOMM INC COMMON STOCK USD.0001 |
5,080,810 | |||||||||||
QUALITY SYSTEMS INC COMMON STOCK USD.01 |
811,931 | |||||||||||
QUANEX BUILDING PRODUCTS COMMON STOCK USD.01 |
1,351,124 | |||||||||||
QUEBECOR INC CL B COMMON STOCK NPV |
191,882 | |||||||||||
QUEST DIAGNOSTIC INC COMPANY GUAR 11/15 5.45 |
11/1/2015 | 5.45 | % | 1,470,065 | ||||||||
QUEST DIAGNOSTICS INC COMMON STOCK USD.01 |
2,014,682 | |||||||||||
QWEST COMMUNICATIONS INT COMPANY GUAR 04/18 7.125 |
4/1/2018 | 7.13 | % | 5,690,605 | ||||||||
QWEST COMMUNICATIONS INT COMPANY GUAR 10/15 8. |
10/1/2015 | 8.00 | % | 2,075,388 | ||||||||
QWEST CORP SR UNSECURED 05/16 8.375 |
5/1/2016 | 8.38 | % | 1,600,086 | ||||||||
QWEST CORP SR UNSECURED 06/15 7.625 |
6/15/2015 | 7.63 | % | 470,948 | ||||||||
QWEST CORP SR UNSECURED 06/17 6.5 |
6/1/2017 | 6.50 | % | 1,190,825 | ||||||||
QWEST CORP SR UNSECURED 06/17 6.5 |
6/1/2017 | 6.50 | % | (1,192,188 | ) | |||||||
QWEST CORP SR UNSECURED 10/14 7.5 |
10/1/2014 | 7.50 | % | 871,225 | ||||||||
RABOBANK NEDERLAND COMPANY GUAR 01/14 1.85 |
1/10/2014 | 1.85 | % | 994,852 | ||||||||
RABOBANK NEDERLAND COMPANY GUAR 01/14 1.85 |
1/10/2014 | 1.85 | % | 5,763,178 | ||||||||
RABOBANK NEDERLAND COMPANY GUAR 01/14 1.85 |
1/10/2014 | 1.85 | % | 4,239,064 | ||||||||
RABOBANK NEDERLAND COMPANY GUAR 01/14 1.85 |
1/10/2014 | 1.85 | % | 1,238,591 | ||||||||
RABOBANK NEDERLAND COMPANY GUAR 10/15 2.125 |
10/13/2015 | 2.13 | % | 4,017,590 | ||||||||
RABOBANK NEDERLAND COMPANY GUAR 10/15 2.125 |
10/13/2015 | 2.13 | % | 783,920 | ||||||||
RACKSPACE HOSTING INC COMMON STOCK USD.001 |
6,454,597 | |||||||||||
RALCORP HOLDINGS INC COMMON STOCK USD.01 |
983,250 | |||||||||||
RALPH LAUREN CORP COMMON STOCK USD.01 |
6,111,559 | |||||||||||
RAMIRENT OYJ COMMON STOCK NPV |
142,083 | |||||||||||
RANGE RESOURCES CORP COMMON STOCK USD.01 |
8,312,348 | |||||||||||
RANGE RESOURCES CORP COMMON STOCK USD.01 |
2,031,632 | |||||||||||
RAUBEX GROUP LTD COMMON STOCK ZAR.01 |
176,271 | |||||||||||
RAYMOND JAMES FINANCIAL INC COMMON STOCK USD.01 |
842,112 | |||||||||||
RAYTHEON COMPANY SR UNSECURED 10/20 3.125 |
10/15/2020 | 3.13 | % | 846,540 | ||||||||
RAYTHEON COMPANY SR UNSECURED 10/20 3.125 |
10/15/2020 | 3.13 | % | 529,088 | ||||||||
RBC CAPITAL MARKETS REPO REPO |
1/3/2012 | 0.05 | % | 95,700,000 |
- 98 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
RBSGC MORTGAGE PASS THROUGH CE RBSGC 2007 B 1A4 |
1/25/2037 | 0.74 | % | 1,583,507 | ||||||||
RECKITT BENCKISER GROUP PLC COMMON STOCK GBP.1 |
1,449,204 | |||||||||||
RED HAT INC COMMON STOCK USD.0001 |
2,349,442 | |||||||||||
RED HAT INC COMMON STOCK USD.0001 |
974,444 | |||||||||||
RED HAT INC COMMON STOCK USD.0001 |
8,088,711 | |||||||||||
RED HAT INC COMMON STOCK USD.0001 |
3,238,829 | |||||||||||
REDROW PLC COMMON STOCK GBP.1 |
174,495 | |||||||||||
REED ELSEVIER CAPITAL COMPANY GUAR 01/19 8.625 |
1/15/2019 | 8.63 | % | 2,383,842 | ||||||||
REED ELSEVIER CAPITAL COMPANY GUAR 01/19 8.625 |
1/15/2019 | 8.63 | % | 324,502 | ||||||||
REED ELSEVIER NV COMMON STOCK EUR.07 |
571,070 | |||||||||||
REGAL BELOIT CORP COMMON STOCK USD.01 |
1,452,645 | |||||||||||
REGENERON PHARMACEUTICALS COMMON STOCK USD.001 |
4,687,992 | |||||||||||
REGIS CORP COMMON STOCK USD.05 |
1,787,317 | |||||||||||
RELIANCE STEEL + ALUMINUM COMMON STOCK NPV |
2,131,892 | |||||||||||
RENAISSANCE HOME EQUITY LOAN T RAMC 2003 3 A |
12/25/2033 | 0.79 | % | 2,256,523 | ||||||||
RENAISSANCERE HOLDINGS LTD COMMON STOCK USD1. |
2,922,741 | |||||||||||
RENREN INC ADR ADR USD.001 |
6,042 | |||||||||||
REPUBLIC OF ITALY SR UNSECURED 09/23 6.875 |
9/27/2023 | 6.88 | % | 1,062,630 | ||||||||
RESIDENTIAL ACCREDIT LOANS, IN RALI 2005 QO2 A1 |
9/25/2045 | 1.57 | % | 424,853 | ||||||||
RESIDENTIAL ACCREDIT LOANS, IN RALI 2006 QO7 3A2 |
9/25/2046 | 0.50 | % | 168,487 | ||||||||
RESIDENTIAL FUNDING MTG SEC I RFMSI 2003 S13 A4 |
6/25/2033 | 3.50 | % | 858,896 | ||||||||
RESIDENTIAL FUNDING MTG SEC I RFMSI 2003 S9 A1 |
3/25/2032 | 6.50 | % | 8,919 | ||||||||
RESMED INC COMMON STOCK USD.004 |
386,156 | |||||||||||
RESOURCES CONNECTION INC COMMON STOCK USD.01 |
976,398 | |||||||||||
REYNOLDS AMERICAN INC COMMON STOCK USD.0001 |
1,366,032 | |||||||||||
REYNOLDS AMERICAN INC COMPANY GUAR 06/12 7.25 |
6/1/2012 | 7.25 | % | 624,805 | ||||||||
REYNOLDS AMERICAN INC COMPANY GUAR 06/12 7.25 |
6/1/2012 | 7.25 | % | 81,942 | ||||||||
REYNOLDS AMERICAN INC COMPANY GUAR 06/16 7.625 |
6/1/2016 | 7.63 | % | 1,421,383 | ||||||||
REYNOLDS AMERICAN INC COMPANY GUAR 06/16 7.625 |
6/1/2016 | 7.63 | % | 190,790 | ||||||||
REYNOLDS AMERICAN INC COMPANY GUAR 06/17 6.75 |
6/15/2017 | 6.75 | % | 8,411,047 | ||||||||
REYNOLDS AMERICAN INC COMPANY GUAR 06/17 6.75 |
6/15/2017 | 6.75 | % | 721,759 | ||||||||
REYNOLDS AMERICAN INC COMPANY GUAR 06/18 7.75 |
6/1/2018 | 7.75 | % | 2,638,390 | ||||||||
RF MICRO DEVICES INC COMMON STOCK NPV |
1,562,760 | |||||||||||
RHEINMETALL AG COMMON STOCK NPV |
235,543 | |||||||||||
RICOH LEASING CO LTD COMMON STOCK |
268,417 | |||||||||||
RIGEL PHARMACEUTICALS INC COMMON STOCK USD.001 |
780,321 | |||||||||||
RIO TINTO FIN USA LTD 09/16 FIXED 2.25 |
9/20/2016 | 2.25 | % | 91,665 | ||||||||
RIO TINTO FIN USA LTD COMPANY GUAR 05/14 8.95 |
5/1/2014 | 8.95 | % | 1,280,618 | ||||||||
RIO TINTO FIN USA LTD COMPANY GUAR 05/14 8.95 |
5/1/2014 | 8.95 | % | 3,508,542 | ||||||||
RIO TINTO FIN USA LTD COMPANY GUAR 11/20 3.5 |
11/2/2020 | 3.50 | % | 751,247 | ||||||||
RIO TINTO PLC COMMON STOCK GBP.1 |
1,099,866 | |||||||||||
RIVERBED TECHNOLOGY INC COMMON STOCK USD.0001 |
581,461 | |||||||||||
ROBBINS + MYERS INC COMMON STOCK NPV |
1,925,493 | |||||||||||
ROCHE HOLDING AG GENUSSCHEIN COMMON STOCK NPV |
4,471,254 | |||||||||||
ROCHE HOLDING AG GENUSSCHEIN COMMON STOCK NPV |
2,783,744 | |||||||||||
ROCHE HOLDINGS LTD SPONS ADR ADR |
1,881,561 | |||||||||||
ROCKWELL COLLINS INC COMMON STOCK USD.01 |
15,309,805 | |||||||||||
ROGERS COMMUNICATIONS IN COMPANY GUAR 08/18 6.8 |
8/15/2018 | 6.80 | % | 267,992 | ||||||||
ROGERS COMMUNICATIONS IN COMPANY GUAR 08/18 6.8 |
8/15/2018 | 6.80 | % | 889,245 | ||||||||
ROLLS ROYCE HOLDINGS PLC COMMON STOCK GBP.2 |
1,745,228 | |||||||||||
ROPER INDUSTRIES INC COMMON STOCK USD.01 |
1,393,482 |
- 99 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
ROPER INDUSTRIES INC COMMON STOCK USD.01 |
898,583 | |||||||||||
ROSETTA RESOURCES INC COMMON STOCK USD.001 |
1,291,950 | |||||||||||
ROWAN COMPANIES INC COMMON STOCK USD.125 |
1,137,375 | |||||||||||
ROWAN COMPANIES INC COMMON STOCK USD.125 |
1,464,939 | |||||||||||
ROYAL BANK OF CANADA 10/14 FIXED 1.45 |
10/30/2014 | 1.45 | % | 4,468,074 | ||||||||
ROYAL BANK OF CANADA 10/14 FIXED 1.45 |
10/30/2014 | 1.45 | % | 4,020,764 | ||||||||
ROYAL BANK OF CANADA SENIOR NOTES 12/15 2.625 |
12/15/2015 | 2.63 | % | 1,305,434 | ||||||||
ROYAL BK OF CANADA |
1/9/2012 | 0.00 | % | 19,978,000 | ||||||||
ROYAL BK OF SCOTLAND PLC BANK GUARANT 01/14 3.25 |
1/11/2014 | 3.25 | % | 5,718,741 | ||||||||
ROYAL BK OF SCOTLAND PLC BANK GUARANT 01/21 6.125 |
1/11/2021 | 6.13 | % | 744,829 | ||||||||
ROYAL BK OF SCOTLAND PLC BANK GUARANT 03/15 4.875 |
3/16/2015 | 4.88 | % | 95,618 | ||||||||
ROYAL BK OF SCOTLAND PLC BANK GUARANT 09/15 3.95 |
9/21/2015 | 3.95 | % | 3,816,455 | ||||||||
ROYAL BK OF SCOTLAND PLC COMPANY GUAR 08/13 3.4 |
8/23/2013 | 3.40 | % | 1,352,278 | ||||||||
ROYAL BK OF SCOTLAND PLC COMPANY GUAR 08/13 3.4 |
8/23/2013 | 3.40 | % | 700,461 | ||||||||
ROYAL BK SCOTLND GRP PLC SR UNSECURED 10/19 6.4 |
10/21/2019 | 6.40 | % | 2,593,241 | ||||||||
ROYAL BK SCOTLND GRP PLC SR UNSECURED 10/19 6.4 |
10/21/2019 | 6.40 | % | 458,732 | ||||||||
ROYAL DUTCH SHELL PLC A SHS COMMON STOCK EUR.07 |
6,032,452 | |||||||||||
RPM INTERNATIONAL INC COMMON STOCK USD.01 |
2,474,640 | |||||||||||
RSC HOLDINGS INC COMMON STOCK NPV |
637,621 | |||||||||||
RTI INTERNATIONAL METALS INC COMMON STOCK USD.01 |
1,347,224 | |||||||||||
RUSSELL 2000 EQ INDX NTGI QM COLLECTIVE DAILY |
1,349,698,847 | |||||||||||
RWE AG COMMON STOCK NPV |
502,767 | |||||||||||
RYDER SYSTEM INC SR UNSECURED 03/13 6. |
3/1/2013 | 6.00 | % | 425,836 | ||||||||
SABMILLER PLC SR UNSECURED 144A 01/14 5.7 |
1/15/2014 | 5.70 | % | 298,232 | ||||||||
SABMILLER PLC SR UNSECURED 144A 08/13 5.5 |
8/15/2013 | 5.50 | % | 506,350 | ||||||||
SAFEGUARD SCIENTIFICS INC COMMON STOCK USD.1 |
1,941,744 | |||||||||||
SAFEWAY INC SR UNSECURED 08/17 6.35 |
8/15/2017 | 6.35 | % | 3,605,570 | ||||||||
SAFEWAY INC SR UNSECURED 08/17 6.35 |
8/15/2017 | 6.35 | % | 498,884 | ||||||||
SAFRAN SA COMMON STOCK EUR.2 |
492,038 | |||||||||||
SAIC INC COMMON STOCK USD.0001 |
1,362,322 | |||||||||||
SAIPEM SPA COMMON STOCK EUR1. |
1,210,115 | |||||||||||
SAKAI CHEMICAL INDUSTRY CO COMMON STOCK |
133,351 | |||||||||||
SAKARI RESOURCES LTD COMMON STOCK NPV |
184,475 | |||||||||||
SALAMANDER ENERGY PLC COMMON STOCK GBP.1 |
136,805 | |||||||||||
SALESFORCE.COM INC COMMON STOCK USD.001 |
3,268,230 | |||||||||||
SALESFORCE.COM INC COMMON STOCK USD.001 |
8,387,495 | |||||||||||
SALESFORCE.COM INC COMMON STOCK USD.001 |
10,521,402 | |||||||||||
SALESFORCE.COM INC COMMON STOCK USD.001 |
6,120,473 | |||||||||||
SALLY BEAUTY HOLDINGS INC COMMON STOCK USD.01 |
1,094,534 | |||||||||||
SAMSUNG ELECTRONICS CO LTD COMMON STOCK KRW5000. |
3,018,790 | |||||||||||
SAMSUNG ELECTRONICS CO LTD COMMON STOCK KRW5000. |
17,265,972 | |||||||||||
SAN MATEO CNTY CA CMNTY CLG DI SMTHGR 09/38 FIXED 5 |
9/1/2038 | 5.00 | % | 104,172 | ||||||||
SANDISK CORP COMMON STOCK USD.001 |
7,921,334 | |||||||||||
SANDS CHINA LTD COMMON STOCK USD.01 |
908,907 | |||||||||||
SANDVIK AB COMMON STOCK NPV |
359,922 | |||||||||||
SANDY SPRING BANCORP INC COMMON STOCK USD1. |
1,227,956 | |||||||||||
SANKEI BUILDING CO LTD/THE COMMON STOCK |
108,874 | |||||||||||
SANOFI 09/14 FIXED 1.2 |
9/30/2014 | 1.20 | % | 231,785 | ||||||||
SANOFI ADR ADR |
10,015,614 | |||||||||||
SANOFI COMMON STOCK EUR2.0 |
2,242,515 | |||||||||||
SANOFI SR UNSECURED 03/14 1.625 |
3/28/2014 | 1.63 | % | 1,928,176 |
- 100 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
SANOFI SR UNSECURED 03/14 1.625 |
3/28/2014 | 1.63 | % | 4,338,650 | ||||||||
SANOFI SR UNSECURED 03/16 2.625 |
3/29/2016 | 2.63 | % | 724,695 | ||||||||
SANTA CLARA VLY CA TRANSPRTN A SCVTRN 04/32 FIXED 5.876 |
4/1/2032 | 5.88 | % | 1,854,904 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 1 A3 |
11/17/2014 | 1.84 | % | 2,088,295 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 3 A2 |
6/17/2013 | 0.93 | % | 6,671,260 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 3 A3 |
6/16/2014 | 1.20 | % | 1,409,756 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 A A3 144A |
11/17/2014 | 1.83 | % | 1,716,961 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 A A4 144A |
6/15/2017 | 2.39 | % | 2,030,401 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 B A2 144A |
7/15/2013 | 1.01 | % | 5,410,992 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 B A3 144A |
2/17/2014 | 1.31 | % | 785,444 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2010 B C 144A |
10/17/2016 | 3.02 | % | 4,187,247 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2011 1 A2 |
2/18/2014 | 0.94 | % | 10,698,258 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2011 1 A3 |
1/15/2015 | 1.28 | % | 625,250 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2011 2 A3 |
2/16/2015 | 1.29 | % | 1,676,076 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2011 3 A2 |
8/15/2014 | 1.11 | % | 8,689,956 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2011 4 A2 |
3/16/2015 | 1.37 | % | 8,788,120 | ||||||||
SANTANDER DRIVE AUTO RECEIVABL SDART 2011 4 C |
8/15/2017 | 3.82 | % | 5,524,630 | ||||||||
SAP AG COMMON STOCK NPV |
1,203,026 | |||||||||||
SAPIENT CORPORATION COMMON STOCK USD.01 |
6,919,668 | |||||||||||
SAPIENT CORPORATION COMMON STOCK USD.01 |
2,092,860 | |||||||||||
SARANTIS SA COMMON STOCK EUR1.54 |
20,651 | |||||||||||
SARTORIUS STEDIM BIOTECH COMMON STOCK EUR.61 |
273,520 | |||||||||||
SATO HOLDING CORP COMMON STOCK |
136,678 | |||||||||||
SBA COMMUNICATIONS CORP CL A COMMON STOCK USD.01 |
1,646,786 | |||||||||||
SBA COMMUNICATIONS CORP CL A COMMON STOCK USD.01 |
5,155,200 | |||||||||||
SBA TOWER TRUST 04/40 FIXED 4.254 144A |
4/15/2040 | 4.25 | % | 4,235,496 | ||||||||
SCANSOURCE INC COMMON STOCK NPV |
1,713,600 | |||||||||||
SCHLUMBERGER LTD COMMON STOCK USD.01 |
9,037,413 | |||||||||||
SCHLUMBERGER LTD COMMON STOCK USD.01 |
8,273,366 | |||||||||||
SCHNEIDER ELECTRIC SA COMMON STOCK EUR4. |
2,390,757 | |||||||||||
SCHWAB (CHARLES) CORP COMMON STOCK USD.01 |
2,370,838 | |||||||||||
SCHWEITZER MAUDUIT INTL INC COMMON STOCK USD.1 |
1,282,678 | |||||||||||
SCOTTS MIRACLE GRO CO CL A COMMON STOCK USD.01 |
768,097 | |||||||||||
SDL PLC COMMON STOCK GBP.01 |
252,168 | |||||||||||
SEATTLE GENETICS INC COMMON STOCK USD.001 |
1,624,197 | |||||||||||
SECHILIENNE SIDEC COMMON STOCK EUR.0385 |
89,512 | |||||||||||
SECURITY NATIONAL MORTGAGE LOA SNMLT 2007 1A 2A 144A |
4/25/2037 | 0.64 | % | 425,950 | ||||||||
SEEK LTD COMMON STOCK NPV |
155,809 | |||||||||||
SEMPRA ENERGY SR UNSECURED 02/13 6. |
2/1/2013 | 6.00 | % | 214,683 | ||||||||
SEMPRA ENERGY SR UNSECURED 03/14 2. |
3/15/2014 | 2.00 | % | 1,032,922 | ||||||||
SEMPRA ENERGY SR UNSECURED 03/14 2. |
3/15/2014 | 2.00 | % | 6,123,609 | ||||||||
SENSATA TECHNOLOGIES HOLDING COMMON STOCK USD.01 |
596,109 | |||||||||||
SENSIENT TECHNOLOGIES CORP COMMON STOCK USD.1 |
2,131,496 | |||||||||||
SERVICESOURCE INTERNATIONAL COMMON STOCK |
916,139 | |||||||||||
SES RECEIPT NPV |
729,857 | |||||||||||
SHAW GROUP INC COMMON STOCK NPV |
994,412 | |||||||||||
SHELL INTERNATIONAL FIN COMPANY GUAR 03/13 1.875 |
3/25/2013 | 1.88 | % | 254,653 | ||||||||
SHELL INTERNATIONAL FIN COMPANY GUAR 03/13 1.875 |
3/25/2013 | 1.88 | % | 5,128,706 | ||||||||
SHELL INTERNATIONAL FIN COMPANY GUAR 03/14 4. |
3/21/2014 | 4.00 | % | 268,710 | ||||||||
SHELL INTERNATIONAL FIN COMPANY GUAR 06/15 3.1 |
6/28/2015 | 3.10 | % | 1,001,379 | ||||||||
SHENZHEN EXPRESSWAY CO H COMMON STOCK CNY1.0 |
161,327 |
- 101 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
SHENZHOU INTERNATIONAL GROUP COMMON STOCK HKD.1 |
172,351 | |||||||||||
SHERWIN WILLIAMS CO/THE COMMON STOCK USD1. |
2,796,829 | |||||||||||
SHIONOGI + CO LTD COMMON STOCK |
4,345,996 | |||||||||||
SHIRE PLC ADR ADR |
7,754,784 | |||||||||||
SHO BOND HOLDINGS CO LTD COMMON STOCK |
413,923 | |||||||||||
SIEMENS AG REG COMMON STOCK NPV |
1,871,328 | |||||||||||
SIERRA PACIFIC POWER CO GENL REF MOR 05/16 6. |
5/15/2016 | 6.00 | % | 313,217 | ||||||||
SIGNATURE BANK COMMON STOCK USD.01 |
2,121,846 | |||||||||||
SIGNATURE BANK COMMON STOCK USD.01 |
1,835,694 | |||||||||||
SILGAN HOLDINGS INC COMMON STOCK USD.01 |
1,862,834 | |||||||||||
SILICON LABORATORIES INC COMMON STOCK USD.0001 |
2,066,792 | |||||||||||
SILICON LABORATORIES INC COMMON STOCK USD.0001 |
1,457,827 | |||||||||||
SILVER STANDARD RESOURCES COMMON STOCK NPV |
242,328 | |||||||||||
SILVER STANDARD RESOURCES COMMON STOCK NPV |
1,391,066 | |||||||||||
SIMON PROPERTY GROUP LP 12/21 FIXED 4.125 |
12/1/2021 | 4.13 | % | 2,576,200 | ||||||||
SIMON PROPERTY GROUP LP SR UNSECURED 01/14 4.9 |
1/30/2014 | 4.90 | % | 298,454 | ||||||||
SIMON PROPERTY GROUP LP SR UNSECURED 02/15 4.2 |
2/1/2015 | 4.20 | % | 141,036 | ||||||||
SIMON PROPERTY GROUP LP SR UNSECURED 05/14 6.75 |
5/15/2014 | 6.75 | % | 1,651,865 | ||||||||
SIMON PROPERTY GROUP LP SR UNSECURED 05/18 6.125 |
5/30/2018 | 6.13 | % | 1,406,306 | ||||||||
SIMPLO TECHNOLOGY CO LTD COMMON STOCK TWD10. |
312,157 | |||||||||||
SINA CORP COMMON STOCK USD.133 |
3,364,296 | |||||||||||
SINGAPORE PRESS HOLDINGS LTD COMMON STOCK NPV |
202,051 | |||||||||||
SINGAPORE TELECOM LTD COMMON STOCK NPV |
433,718 | |||||||||||
SIRONA DENTAL SYSTEMS INC COMMON STOCK USD.01 |
1,792,428 | |||||||||||
SK TELECOM CO LTD ADR ADR |
1,090,814 | |||||||||||
SKYWEST INC COMMON STOCK NPV |
1,619,301 | |||||||||||
SKYWORKS SOLUTIONS INC COMMON STOCK USD.25 |
648,395 | |||||||||||
SLH OPEN POSITION NET PAYABLE SLHOPNTL0 |
12/31/2060 | 0.00 | % | (469,063 | ) | |||||||
SLM CORP SR UNSECURED 10/13 5. |
10/1/2013 | 5.00 | % | 1,050,000 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2003 11 A6 144A |
12/15/2025 | 0.84 | % | 2,047,461 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2004 10 A5A 144A |
4/25/2023 | 1.17 | % | 3,266,000 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2004 B A2 |
6/15/2021 | 0.75 | % | 7,032,244 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2006 5 A5 |
1/25/2027 | 0.53 | % | 2,527,738 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2007 2 A2 |
7/25/2017 | 0.42 | % | 530,414 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2008 5 A4 |
7/25/2023 | 2.12 | % | 7,974,149 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2008 7 A1 |
10/27/2014 | 0.82 | % | 78,425 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2008 9 A |
4/25/2023 | 1.92 | % | 34,953,160 | ||||||||
SLM STUDENT LOAN TRUST SLMA 2010 1 A |
3/25/2025 | 0.69 | % | 19,425,100 | ||||||||
SMALL BUSINESS ADMINISTRATION SBAP 1999 20L 1 |
12/1/2019 | 7.19 | % | 189,189 | ||||||||
SMALL BUSINESS ADMINISTRATION SBAP 2005 20B 1 |
2/1/2025 | 4.63 | % | 3,068,493 | ||||||||
SMALL BUSINESS ADMINISTRATION SBAP 2008 20F 1 |
6/1/2028 | 5.68 | % | 886,865 | ||||||||
SMALL BUSINESS ADMINISTRATION SBIC 2004 P10B 1 |
8/10/2014 | 4.75 | % | 1,850,594 | ||||||||
SMALL BUSINESS ADMINISTRATION SBIC 2008 10A 1 |
3/10/2018 | 5.47 | % | 5,637,252 | ||||||||
SMC CORP COMMON STOCK |
1,194,541 | |||||||||||
SMITH + NEPHEW PLC COMMON STOCK USD.2 |
495,610 | |||||||||||
SOCIETE GENERALE COMMON STOCK EUR1.25 |
197,885 | |||||||||||
SOFTBANK CORP COMMON STOCK |
1,134,384 | |||||||||||
SOHU.COM INC COMMON STOCK USD.001 |
1,325,000 | |||||||||||
SOLERA HOLDINGS INC COMMON STOCK USD.01 |
537,152 | |||||||||||
SOLERA HOLDINGS INC COMMON STOCK USD.01 |
2,547,688 | |||||||||||
SOTHEBY S COMMON STOCK USD.01 |
1,512,090 |
- 102 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
SOURCEFIRE INC COMMON STOCK USD.001 |
1,830,441 | |||||||||||
SOUTH CAROLINA ST PUBLIC SVC A SCSUTL 06/14 FLOATING VAR |
6/2/2014 | 0.97 | % | 10,411,960 | ||||||||
SOUTH CAROLINA ST PUBLIC SVC A SCSUTL 07/13 FLOATING VAR |
7/1/2013 | 0.77 | % | 5,202,444 | ||||||||
SOUTH CAROLINA STUDENT LOAN 03/18 |
3/1/2018 | 1.08 | % | 4,558,517 | ||||||||
SOUTHERN CAL EDISON 1ST REF MORT 03/14 5.75 |
3/15/2014 | 5.75 | % | 5,672,874 | ||||||||
SOUTHERN CO SR UNSECURED 05/14 4.15 |
5/15/2014 | 4.15 | % | 2,275,370 | ||||||||
SOUTHERN CO SR UNSECURED 09/16 1.95 |
9/1/2016 | 1.95 | % | 52,491 | ||||||||
SOUTHERN CO SR UNSECURED 09/16 1.95 |
9/1/2016 | 1.95 | % | 6,308,981 | ||||||||
SOUTHERN NATURAL GAS SR UNSECURED 144A 04/17 5.9 |
4/1/2017 | 5.90 | % | 308,575 | ||||||||
SOUTHERN NATURAL GAS SR UNSECURED 144A 04/17 5.9 |
4/1/2017 | 5.90 | % | 45,715 | ||||||||
SOUTHTRUST CORP SUBORDINATED 06/14 5.8 |
6/15/2014 | 5.80 | % | 4,263,268 | ||||||||
SOUTHWEST AIRLINES CO COMMON STOCK USD1. |
708,246 | |||||||||||
SOUTHWEST GAS CORP COMMON STOCK USD1. |
1,550,673 | |||||||||||
SOUTHWESTERN ENERGY CO COMMON STOCK USD.01 |
2,697,333 | |||||||||||
SOUTHWESTERN ENERGY CO COMMON STOCK USD.01 |
3,444,314 | |||||||||||
SPARTAN STORES INC COMMON STOCK NPV |
2,260,885 | |||||||||||
SPECTRA ENERGY CAPITAL COMPANY GUAR 09/13 5.9 |
9/15/2013 | 5.90 | % | 4,107,655 | ||||||||
SPREADTRUM COMMUNICATI ADR ADR USD.0001 |
4,117,745 | |||||||||||
SPX CORP COMMON STOCK USD10. |
1,687,560 | |||||||||||
SPX CORP COMMON STOCK USD10. |
1,591,128 | |||||||||||
ST BARBARA LTD SP ADR ADR |
523,300 | |||||||||||
ST JUDE MEDICAL INC COMMON STOCK USD.1 |
3,791,179 | |||||||||||
ST JUDE MEDICAL INC COMMON STOCK USD.1 |
2,450,049 | |||||||||||
ST JUDE MEDICAL INC SR UNSECURED 09/13 2.2 |
9/15/2013 | 2.20 | % | 3,959,570 | ||||||||
STANLEY BLACK + DECKER INC COMMON STOCK USD2.5 |
2,589,080 | |||||||||||
STANLEY BLACK + DECKER INC COMMON STOCK USD2.5 |
4,510,137 | |||||||||||
STAPLES INC COMMON STOCK USD.0006 |
1,635,270 | |||||||||||
STARBUCKS CORP COMMON STOCK USD.001 |
8,326,706 | |||||||||||
STATE STREET BANK & TR CO INVT FDS MUTUAL FUND* |
2,589,401,611 | |||||||||||
STATE STREET BANK & TR CO INVT FDS S+P 500 FLAGSHIP NON LENDING* |
4,585,780,718 | |||||||||||
STATE STREET BANK & TR CO INVT FDS US INDX NL SF CL A (CMLH1)* |
1,862,715,249 | |||||||||||
STATE STREET CAPITAL TRU LIMITD GUARA 01/49 VAR |
12/31/2049 | 5.54 | % | 8,361,705 | ||||||||
STATE STREET CORP COMMON STOCK USD1. |
3,136,924 | |||||||||||
STATE STREET CORP FDIC GUARANT 04/12 2.15 |
4/30/2012 | 2.15 | % | 6,514,640 | ||||||||
STATE STREET CORP FDIC GUARANT 04/12 2.15 |
4/30/2012 | 2.15 | % | 13,225,596 | ||||||||
STATE STREET CORP JR SUB DEBS 03/18 4.956 |
3/15/2018 | 4.96 | % | 2,816,831 | ||||||||
STATE STREET CORP SR UNSECURED 05/14 4.3 |
5/30/2014 | 4.30 | % | 1,482,325 | ||||||||
STATOIL ASA COMMON STOCK NOK2.5 |
706,497 | |||||||||||
STATOIL ASA COMPANY GUAR 04/19 5.25 |
4/15/2019 | 5.25 | % | 1,909,456 | ||||||||
STERICYCLE INC COMMON STOCK USD.01 |
861,561 | |||||||||||
STEVEN MADDEN LTD COMMON STOCK USD.0001 |
1,227,855 | |||||||||||
STHREE PLC COMMON STOCK GBP.01 |
121,524 | |||||||||||
STOREBRAND ASA COMMON STOCK NOK5. |
132,885 | |||||||||||
STROER OUT OF HOME MEDIA AG COMMON STOCK |
98,841 | |||||||||||
STRUCTURED ADJUSTABLE RATE MOR SARM 2004 1 4A1 |
2/25/2034 | 2.48 | % | 25,007 | ||||||||
STRUCTURED ADJUSTABLE RATE MOR SARM 2004 13 A2 |
9/25/2034 | 0.59 | % | 905,577 | ||||||||
STRUCTURED ADJUSTABLE RATE MOR SARM 2004 16 1A2 |
11/25/2034 | 2.59 | % | 1,141,746 | ||||||||
STRUCTURED ADJUSTABLE RATE MOR SARM 2004 4 3A2 |
4/25/2034 | 2.48 | % | 46,740 | ||||||||
STRUCTURED ASSET MORTGAGE INVE SAMI 2003 AR4 A1 |
1/19/2034 | 0.63 | % | 1,501,415 | ||||||||
STRUCTURED ASSET MORTGAGE INVE SAMI 2005 AR5 A3 |
7/19/2035 | 0.50 | % | 3,231,977 |
- 103 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
STRUCTURED ASSET MORTGAGE INVE SAMI 2006 AR5 2A1 |
5/25/2046 | 0.50 | % | 1,549,141 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2003 22A 3A |
6/25/2033 | 2.57 | % | 1,010,660 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2003 26A 3A5 |
9/25/2033 | 2.44 | % | 2,787,962 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2003 31A 2A7 |
10/25/2033 | 2.44 | % | 6,224,333 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2003 34A 3A3 |
11/25/2033 | 2.47 | % | 2,045,240 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2005 GEL2 A |
4/25/2035 | 0.57 | % | 734,750 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2005 GEL4 M1 |
8/25/2035 | 0.78 | % | 1,695,725 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2005 RF3 1A 144A |
6/25/2035 | 0.64 | % | 1,248,717 | ||||||||
STRUCTURED ASSET SECURITIES CO SASC 2005 WF1 A3 |
2/25/2035 | 0.62 | % | 3,262,163 | ||||||||
STRYKER CORP COMMON STOCK USD.1 |
2,593,619 | |||||||||||
SUCCESSFACTORS INC COMMON STOCK USD.001 |
195,363 | |||||||||||
SUCCESSFACTORS INC COMMON STOCK USD.001 |
(195,022 | ) | ||||||||||
SUMITOMO MITSUI BANKING SR UNSECURED 144A 01/16 3.1 |
1/14/2016 | 3.10 | % | 832,690 | ||||||||
SUMITOMO MITSUI BANKING SR UNSECURED 144A 07/15 3.15 |
7/22/2015 | 3.15 | % | 2,660,874 | ||||||||
SUMITOMO MITSUI TR SPON ADR ADR |
720,264 | |||||||||||
SUNCOR ENERGY INC COMMON STOCK NPV |
3,640,639 | |||||||||||
SUNDRUG CO LTD COMMON STOCK |
190,949 | |||||||||||
SUNTRUST BANKS INC COMMON STOCK USD1. |
423,207 | |||||||||||
SUNTRUST BANKS INC SR UNSECURED 11/12 5.25 |
11/5/2012 | 5.25 | % | 963,349 | ||||||||
SUNTRUST BANKS INC SR UNSECURED 11/12 5.25 |
11/5/2012 | 5.25 | % | 3,702,743 | ||||||||
SUPERGROUP PLC COMMON STOCK GBP.05 |
132,503 | |||||||||||
SUPERIOR ENERGY SERVICES INC COMMON STOCK USD.001 |
1,925,388 | |||||||||||
SUSQUEHANNA BANCSHARES INC COMMON STOCK USD2. |
1,522,185 | |||||||||||
SUZUKI MOTOR CORP COMMON STOCK |
1,358,869 | |||||||||||
SVB FINANCIAL GROUP COMMON STOCK USD.001 |
1,792,190 | |||||||||||
SWATCH GROUP AG/THE BR COMMON STOCK CHF2.25 |
1,649,806 | |||||||||||
SWISS RE AG COMMON STOCK CHF.1 |
1,369,652 | |||||||||||
SXC HEALTH SOLUTIONS CORP COMMON STOCK NPV |
1,171,056 | |||||||||||
SXC HEALTH SOLUTIONS CORP COMMON STOCK NPV |
3,475,779 | |||||||||||
SYNCHRONOSS TECHNOLOGIES INC COMMON STOCK USD.0001 |
2,132,524 | |||||||||||
SYNGENTA AG REG COMMON STOCK CHF.1 |
2,321,222 | |||||||||||
SYNNEX TECHNOLOGY INTL CORP COMMON STOCK TWD10. |
2,805,317 | |||||||||||
SYNNEX TECHNOLOGY INTL CORP COMMON STOCK TWD10. |
222,108 | |||||||||||
TAHOE RESOURCES INC COMMON STOCK |
163,213 | |||||||||||
TAIWAN SEMICONDUCTOR MANUFAC COMMON STOCK TWD10. |
3,241,884 | |||||||||||
TAIWAN SEMICONDUCTOR MANUFAC COMMON STOCK TWD10. |
3,362,046 | |||||||||||
TAIWAN SEMICONDUCTOR SP ADR ADR |
2,252,098 | |||||||||||
TAL INTERNATIONAL GROUP INC COMMON STOCK USD.001 |
1,381,920 | |||||||||||
TAL INTERNATIONAL GROUP INC COMMON STOCK USD.001 |
1,528,029 | |||||||||||
TALISMAN ENERGY INC COMMON STOCK NPV |
662,095 | |||||||||||
TAMPA ELEC CO 05/21 FIXED 5.4 |
5/15/2021 | 5.40 | % | 2,194,333 | ||||||||
TARGACEPT INC COMMON STOCK USD.001 |
105,006 | |||||||||||
TARGET CORP COMMON STOCK USD.0833 |
4,938,120 | |||||||||||
TARGET CORP SR UNSECURED 01/13 5.125 |
1/15/2013 | 5.13 | % | 2,748,792 | ||||||||
TCC INTL HLDGS LTD COMMON STOCK HKD.1 |
136,997 | |||||||||||
TCI COMMUNICATIONS INC SR UNSECURED 08/15 8.75 |
8/1/2015 | 8.75 | % | 485,926 | ||||||||
TEACHERS INSUR & ANNUITY SUBORDINATED 144A 12/39 6.85 |
12/16/2039 | 6.85 | % | 2,746,480 | ||||||||
TEAVANA HOLDINGS INC COMMON STOCK |
707,818 | |||||||||||
TECH DATA CORP COMMON STOCK USD.0015 |
336,680 | |||||||||||
TECHNE CORP COMMON STOCK USD.01 |
598,708 | |||||||||||
TECHNIP SA COMMON STOCK EUR.7625 |
744,463 |
- 104 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
TECHTRONIC INDUSTRIES CO COMMON STOCK HKD.1 |
320,974 | |||||||||||
TELECOM ITALIA CAPITAL COMPANY GUAR 06/14 6.175 |
6/18/2014 | 6.18 | % | 235,657 | ||||||||
TELECOM ITALIA CAPITAL COMPANY GUAR 10/15 5.25 |
10/1/2015 | 5.25 | % | 1,275,089 | ||||||||
TELECOM ITALIA CAPITAL COMPANY GUAR 11/13 5.25 |
11/15/2013 | 5.25 | % | 4,274,599 | ||||||||
TELECOM ITALIA CAPITAL COMPANY GUAR 11/13 5.25 |
11/15/2013 | 5.25 | % | 1,088,342 | ||||||||
TELECOM ITALIA CAPITAL COMPANY GUAR 11/13 5.25 |
11/15/2013 | 5.25 | % | 384,234 | ||||||||
TELEDYNE TECHNOLOGIES INC COMMON STOCK USD.01 |
552,394 | |||||||||||
TELEFONICA EMISIONES SAU COMPANY GUAR 01/15 4.949 |
1/15/2015 | 4.95 | % | 1,273,267 | ||||||||
TELEFONICA EMISIONES SAU COMPANY GUAR 02/16 3.992 |
2/16/2016 | 3.99 | % | 198,069 | ||||||||
TELEFONICA EMISIONES SAU COMPANY GUAR 02/16 3.992 |
2/16/2016 | 3.99 | % | 312,488 | ||||||||
TELEFONICA EMISIONES SAU COMPANY GUAR 02/16 3.992 |
2/16/2016 | 3.99 | % | 1,225,914 | ||||||||
TELEFONICA EMISIONES SAU COMPANY GUAR 04/13 2.582 |
4/26/2013 | 2.58 | % | 780,638 | ||||||||
TELEFONICA EMISIONES SAU COMPANY GUAR 04/13 2.582 |
4/26/2013 | 2.58 | % | 5,562,043 | ||||||||
TELEFONICA EMISIONES SAU COMPANY GUAR 04/13 2.582 |
4/26/2013 | 2.58 | % | 2,657,095 | ||||||||
TELEPERFORMANCE COMMON STOCK EUR2.5 |
120,397 | |||||||||||
TELIASONERA AB COMMON STOCK NPV |
240,096 | |||||||||||
TELUS CORPORATION NON VOTE COMMON STOCK NPV |
293,882 | |||||||||||
TEMPUR PEDIC INTERNATIONAL COMMON STOCK USD.01 |
1,470,840 | |||||||||||
TENN VALLEY AUTHORITY NOTES 07/17 5.5 |
7/18/2017 | 5.50 | % | 645,167 | ||||||||
TENN VALLEY AUTHORITY NOTES 09/39 5.25 |
9/15/2039 | 5.25 | % | 1,812,646 | ||||||||
TENN VALLEY AUTHORITY SR UNSECURED 02/21 3.875 |
2/15/2021 | 3.88 | % | 1,226,475 | ||||||||
TERADATA CORP COMMON STOCK USD.01 |
3,185,070 | |||||||||||
TERADYNE INC COMMON STOCK USD.125 |
1,226,700 | |||||||||||
TERANGA GOLD CORP CDI RECEIPT NPV |
91,057 | |||||||||||
TESCO PLC COMMON STOCK GBP.05 |
813,491 | |||||||||||
TESLA MOTORS INC COMMON STOCK USD.001 |
3,586,136 | |||||||||||
TESLA MOTORS INC COMMON STOCK USD.001 |
10,832,808 | |||||||||||
TETRA TECH INC COMMON STOCK USD.01 |
1,353,693 | |||||||||||
TETRA TECH INC COMMON STOCK USD.01 |
1,689,957 | |||||||||||
TEVA PHARMA FIN IV LLC 11/14 FIXED 1.7 |
11/10/2014 | 1.70 | % | 3,849,532 | ||||||||
TEVA PHARMACEUT FIN BV 11/21 FIXED 3.65 |
11/10/2021 | 3.65 | % | 2,471,638 | ||||||||
TEVA PHARMACEUTICAL SP ADR ADR |
8,174,555 | |||||||||||
TEVA PHARMACEUTICAL SP ADR ADR |
1,383,944 | |||||||||||
TEXAS CAPITAL BANCSHARES INC COMMON STOCK USD.01 |
2,124,640 | |||||||||||
TEXAS INSTRUMENTS INC COMMON STOCK USD1. |
4,375,233 | |||||||||||
TEXAS INSTRUMENTS INC COMMON STOCK USD1. |
2,710,811 | |||||||||||
TEXAS INSTRUMENTS INC COMMON STOCK USD1. |
10,728,491 | |||||||||||
TEXAS INSTRUMENTS INC SR UNSECURED 05/13 0.875 |
5/15/2013 | 0.88 | % | 2,514,591 | ||||||||
TEXAS INSTRUMENTS INC SR UNSECURED 05/14 1.375 |
5/15/2014 | 1.38 | % | 1,012,446 | ||||||||
TEXTRON INC SR UNSECURED 03/15 6.2 |
3/15/2015 | 6.20 | % | 992,969 | ||||||||
TEXWINCA HOLDINGS LTD COMMON STOCK HKD.05 |
159,823 | |||||||||||
THE BOEING COMPANY G 1554 4 |
12/1/2030 | 5.03 | % | 1,218,364 | ||||||||
THE BOEING COMPANY G 1554 4 |
12/1/2030 | 5.03 | % | 3,925 | ||||||||
THE BOEING COMPANY GA 10766A |
12/31/2030 | 0.00 | % | 1,292,998 | ||||||||
THE BOEING COMPANY GA 10766A |
12/31/2030 | 0.00 | % | 43,398 | ||||||||
THERMO FISHER SCIENTIFIC INC COMMON STOCK USD1. |
4,370,859 | |||||||||||
THERMO FISHER SCIENTIFIC INC COMMON STOCK USD1. |
2,681,111 | |||||||||||
THERMO FISHER SCIENTIFIC SR UNSECURED 08/21 3.6 |
8/15/2021 | 3.60 | % | 835,523 | ||||||||
THOR INDUSTRIES INC COMMON STOCK USD.1 |
1,371,500 | |||||||||||
THORNBURG MORTGAGE SECURITIES TMST 2007 4 2A1 |
9/25/2037 | 6.04 | % | 1,851,343 | ||||||||
THORNBURG MORTGAGE SECURITIES TMST 2007 4 3A1 |
9/25/2037 | 6.05 | % | 2,064,698 |
- 105 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
TIBCO SOFTWARE INC COMMON STOCK USD.001 |
1,563,714 | |||||||||||
TIBCO SOFTWARE INC COMMON STOCK USD.001 |
8,026,324 | |||||||||||
TIBCO SOFTWARE INC COMMON STOCK USD.001 |
1,185,936 | |||||||||||
TIFFANY + CO COMMON STOCK USD.01 |
583,088 | |||||||||||
TIFFANY + CO COMMON STOCK USD.01 |
2,786,432 | |||||||||||
TIMAH TBK PT COMMON STOCK IDR50. |
125,791 | |||||||||||
TIME WARNER CABLE INC 09/21 FIXED 4.00 |
9/1/2021 | 4.00 | % | 880,203 | ||||||||
TIME WARNER CABLE INC 09/21 FIXED 4.00 |
9/1/2021 | 4.00 | % | 440,102 | ||||||||
TIME WARNER CABLE INC 09/41 FIXED 5.5 |
9/1/2041 | 5.50 | % | 168,608 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 02/19 8.75 |
2/14/2019 | 8.75 | % | 1,238,621 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 02/19 8.75 |
2/14/2019 | 8.75 | % | 166,001 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 04/14 7.5 |
4/1/2014 | 7.50 | % | 4,770,850 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 04/19 8.25 |
4/1/2019 | 8.25 | % | 3,579,634 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 04/19 8.25 |
4/1/2019 | 8.25 | % | 615,446 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 05/17 5.85 |
5/1/2017 | 5.85 | % | 939,533 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 06/39 6.75 |
6/15/2039 | 6.75 | % | 1,004,460 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 07/12 5.4 |
7/2/2012 | 5.40 | % | 3,430,649 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 07/12 5.4 |
7/2/2012 | 5.40 | % | 4,744,623 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 07/13 6.2 |
7/1/2013 | 6.20 | % | 751,146 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 07/38 7.3 |
7/1/2038 | 7.30 | % | 2,223,737 | ||||||||
TIME WARNER CABLE INC COMPANY GUAR 11/40 5.875 |
11/15/2040 | 5.88 | % | 2,521,668 | ||||||||
TIME WARNER INC 01/22 FIXED 4 |
1/15/2022 | 4.00 | % | 412,588 | ||||||||
TIME WARNER INC COMMON STOCK USD.01 |
15,328,781 | |||||||||||
TIME WARNER INC COMPANY GUAR 03/21 4.75 |
3/29/2021 | 4.75 | % | 639,840 | ||||||||
TIME WARNER INC COMPANY GUAR 03/21 4.75 |
3/29/2021 | 4.75 | % | 1,653,824 | ||||||||
TIME WARNER INC COMPANY GUAR 03/41 6.25 |
3/29/2041 | 6.25 | % | 227,801 | ||||||||
TIME WARNER INC COMPANY GUAR 07/15 3.15 |
7/15/2015 | 3.15 | % | 728,084 | ||||||||
TIME WARNER INC COMPANY GUAR 07/40 6.1 |
7/15/2040 | 6.10 | % | 1,254,398 | ||||||||
TIMKEN CO COMMON STOCK NPV |
963,879 | |||||||||||
TITAN INTERNATIONAL INC COMMON STOCK NPV |
978,819 | |||||||||||
TNT EXPRESS NV ADR ADR |
564,556 | |||||||||||
TO-BE-ANNOUNCED SECURITIES |
8,712,185 | |||||||||||
TOKAI CARBON CO LTD COMMON STOCK |
418,326 | |||||||||||
TOKYO OHKA KOGYO CO LTD COMMON STOCK |
330,317 | |||||||||||
TORONTO DOMINION BANK 10/16 FIXED 2.375 |
10/19/2016 | 2.38 | % | 5,718,856 | ||||||||
TORONTO DOMINION BANK SR UNSECURED 07/16 2.5 |
7/14/2016 | 2.50 | % | 509,941 | ||||||||
TORONTO-DOMINION |
1/3/2012 | 0.01 | % | 15,000,229 | ||||||||
TOTAL CAPITAL SA COMPANY GUAR 06/15 3. |
6/24/2015 | 3.00 | % | 333,981 | ||||||||
TOTAL SA COMMON STOCK EUR2.5 |
2,700,499 | |||||||||||
TOTVS SA COMMON STOCK NPV |
99,856 | |||||||||||
TOWER BERSAMA INFRASTRUCTURE COMMON STOCK IDR100. |
217,790 | |||||||||||
TOYOTA AUTO RECEIVABLES OWNER TAOT 2010 A A4 |
5/16/2016 | 1.86 | % | 409,492 | ||||||||
TOYOTA AUTO RECEIVABLES OWNER TAOT 2010 C A4 |
12/15/2014 | 1.09 | % | 701,960 | ||||||||
TOYOTA MOTOR CORP COMMON STOCK |
2,279,996 | |||||||||||
TOYOTA MOTOR CREDIT |
1/31/2012 | 0.00 | % | 9,989,511 | ||||||||
TOYOTA MOTOR CREDIT CORP 09/16 FIXED 2 |
9/15/2016 | 2.00 | % | 504,976 | ||||||||
TOYOTA MOTOR CREDIT CORP SR UNSECURED 06/15 3.2 |
6/17/2015 | 3.20 | % | 368,136 | ||||||||
TOYOTA MOTOR CREDIT CORP SR UNSECURED 11/14 1.25 |
11/17/2014 | 1.25 | % | 402,232 | ||||||||
TOYOTA MOTOR CREDIT CORP SR UNSECURED 11/14 1.25 |
11/17/2014 | 1.25 | % | 6,118,948 | ||||||||
TPC GROUP INC COMMON STOCK |
1,034,919 | |||||||||||
TRAKYA CAM SANAYII AS COMMON STOCK TRY1.0 |
82,686 |
- 106 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
TRANS CANADA PIPELINES SR UNSECURED 06/13 4. |
6/15/2013 | 4.00 | % | 1,040,680 | ||||||||
TRANSDIGM GROUP INC COMMON STOCK USD.01 |
1,139,166 | |||||||||||
TRANSDIGM GROUP INC COMMON STOCK USD.01 |
2,583,360 | |||||||||||
TRANSFORCE INC COMMON STOCK NPV |
293,783 | |||||||||||
TRANSOCEAN INC SR NT |
3/15/2013 | 5.25 | % | 277,559 | ||||||||
TRANSOCEAN LTD COMMON STOCK CHF15. |
1,589,730 | |||||||||||
TRANSOCEAN LTD COMMON STOCK CHF15. |
303,780 | |||||||||||
TRAVELERS COS INC SR UNSECURED 05/18 5.8 |
5/15/2018 | 5.80 | % | 1,469,308 | ||||||||
TRAVELERS COS INC SR UNSECURED 06/16 6.25 |
6/20/2016 | 6.25 | % | 326,273 | ||||||||
TRAVELERS COS INC/THE COMMON STOCK NPV |
4,389,231 | |||||||||||
TRAVELERS PPTY CASUALTY COMPANY GUAR 03/13 5. |
3/15/2013 | 5.00 | % | 104,317 | ||||||||
TRAVIS PERKINS PLC COMMON STOCK GBP.1 |
463,608 | |||||||||||
TREASURY BILL 04/12 0.00000 |
4/26/2012 | 0.06 | % | 599,888 | ||||||||
TREASURY BILL 05/12 0.00000 |
5/3/2012 | 0.14 | % | 1,799,634 | ||||||||
TREASURY WINE ESTATES LTD COMMON STOCK |
258,840 | |||||||||||
TREEHOUSE FOODS INC COMMON STOCK USD.01 |
2,468,749 | |||||||||||
TRICAN WELL SERVICE LTD COMMON STOCK NPV |
367,115 | |||||||||||
TRIMBLE NAVIGATION LTD COMMON STOCK NPV |
1,926,830 | |||||||||||
TRIMBLE NAVIGATION LTD COMMON STOCK NPV |
1,900,920 | |||||||||||
TRINIDAD DRILLING LTD COMMON STOCK |
467,001 | |||||||||||
TRINITY INDUSTRIES INC COMMON STOCK USD1. |
1,593,180 | |||||||||||
TRIUMPH GROUP INC COMMON STOCK USD.001 |
2,691,623 | |||||||||||
TSUTSUMI JEWELRY CO LTD COMMON STOCK |
70,964 | |||||||||||
TSY INFL IX N/B 01/21 1.125 |
1/15/2021 | 1.13 | % | 55,414,996 | ||||||||
TSY INFL IX N/B 01/26 2. |
1/15/2026 | 2.00 | % | 7,110,498 | ||||||||
TSY INFL IX N/B 01/27 2.375 |
1/15/2027 | 2.38 | % | 2,871,436 | ||||||||
TSY INFL IX N/B 01/29 2.5 |
1/15/2029 | 2.50 | % | 11,820,132 | ||||||||
TSY INFL IX N/B 02/40 2.125 |
2/15/2040 | 2.13 | % | 9,574,707 | ||||||||
TSY INFL IX N/B 02/40 2.125 |
2/15/2040 | 2.13 | % | 421,793 | ||||||||
TSY INFL IX N/B 02/41 2.125 |
2/15/2041 | 2.13 | % | 11,369,313 | ||||||||
TSY INFL IX N/B 04/12 2. |
4/15/2012 | 2.00 | % | 10,502,293 | ||||||||
TSY INFL IX N/B 04/12 2. |
4/15/2012 | 2.00 | % | 43,202,083 | ||||||||
TSY INFL IX N/B 04/16 0.125 |
4/15/2016 | 0.13 | % | 14,058,861 | ||||||||
TSY INFL IX N/B 04/29 3.875 |
4/15/2029 | 3.88 | % | 794,177 | ||||||||
TSY INFL IX N/B 07/21 0.625 |
7/15/2021 | 0.63 | % | 37,259,214 | ||||||||
TSY INFL IX N/B 07/21 0.625 |
7/15/2021 | 0.63 | % | 39,983,925 | ||||||||
TURKCELL ILETISIM HIZMET ADR ADR TRY1. |
755,051 | |||||||||||
TW TELECOM INC COMMON STOCK USD.01 |
1,190,223 | |||||||||||
TYCO INTERNATIONAL LTD COMMON STOCK CHF6.7 |
3,138,445 | |||||||||||
U S BANCORP MTN BK ENT 11/16 FIXED 2.20 |
11/15/2016 | 2.20 | % | 2,891,517 | ||||||||
UBS AG REG COMMON STOCK CHF.1 |
584,478 | |||||||||||
UBS AG STAMFORD 01/14 FIXED 2.25 |
1/28/2014 | 2.25 | % | 4,032,601 | ||||||||
UBS AG STAMFORD CT 01/15 FIXED 3.875 |
1/15/2015 | 3.88 | % | 947,388 | ||||||||
UBS AG STAMFORD CT SR UNSECURED 04/18 5.75 |
4/25/2018 | 5.75 | % | 13,002,741 | ||||||||
UBS AG STAMFORD CT SR UNSECURED 08/13 2.25 |
8/12/2013 | 2.25 | % | 4,638,278 | ||||||||
UBS AG STAMFORD CT SUBORDINATED 07/16 5.875 |
7/15/2016 | 5.88 | % | 3,435,990 | ||||||||
UCB SA COMMON STOCK NPV |
2,444,516 | |||||||||||
UIL HOLDINGS CORP COMMON STOCK NPV |
1,438,321 | |||||||||||
ULTRA CLEAN HOLDINGS COMMON STOCK USD.001 |
924,229 | |||||||||||
ULTRA PETROLEUM CORP COMMON STOCK NPV |
1,822,245 | |||||||||||
UNICHARM CORP COMMON STOCK |
2,962,359 |
- 107 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
UNILEVER CAPITAL CORP COMPANY GUAR 02/21 4.25 |
2/10/2021 | 4.25 | % | 1,145,318 | ||||||||
UNILEVER NV CVA DUTCH CERT EUR.16 |
1,975,141 | |||||||||||
UNION PACIFIC CORP 07/22 FIXED 4.163 |
7/15/2022 | 4.16 | % | 738,052 | ||||||||
UNION PACIFIC CORP COMMON STOCK USD2.5 |
3,672,834 | |||||||||||
UNION PACIFIC CORP SR UNSECURED 01/13 5.45 |
1/31/2013 | 5.45 | % | 5,244,895 | ||||||||
UNION PACIFIC CORP SR UNSECURED 02/14 5.125 |
2/15/2014 | 5.13 | % | 151,462 | ||||||||
UNION PACIFIC CORP SR UNSECURED 02/16 7. |
2/1/2016 | 7.00 | % | 529,541 | ||||||||
UNION PACIFIC CORP SR UNSECURED 05/14 5.375 |
5/1/2014 | 5.38 | % | 382,529 | ||||||||
UNION PACIFIC CORP SR UNSECURED 05/14 5.375 |
5/1/2014 | 5.38 | % | 163,010 | ||||||||
UNITED DRUG PLC COMMON STOCK EUR.05 |
155,681 | |||||||||||
UNITED INTERNET AG REG SHARE COMMON STOCK NPV |
67,197 | |||||||||||
UNITED NATURAL FOODS INC COMMON STOCK USD.01 |
2,600,650 | |||||||||||
UNITED PARCEL SERVICE SR UNSECURED 01/13 4.5 |
1/15/2013 | 4.50 | % | 364,413 | ||||||||
UNITED PARCEL SERVICE SR UNSECURED 01/13 4.5 |
1/15/2013 | 4.50 | % | 354,001 | ||||||||
UNITED PARCEL SERVICE SR UNSECURED 01/21 3.125 |
1/15/2021 | 3.13 | % | 2,588,347 | ||||||||
UNITED PARCEL SERVICE SR UNSECURED 04/14 3.875 |
4/1/2014 | 3.88 | % | 2,875,500 | ||||||||
UNITED PHOSPHORUS LTD COMMON STOCK INR2. |
151,581 | |||||||||||
UNITED TECHNOLOGIES CORP COMMON STOCK USD1. |
7,339,698 | |||||||||||
UNITED TECHNOLOGIES CORP COMMON STOCK USD1. |
3,356,439 | |||||||||||
UNITEDHEALTH GROUP INC 11/21 FIXED 3.375 |
11/15/2021 | 3.38 | % | 1,034,242 | ||||||||
UNITEDHEALTH GROUP INC COMMON STOCK USD.01 |
10,087,854 | |||||||||||
UNITEDHEALTH GROUP INC COMMON STOCK USD.01 |
7,072,394 | |||||||||||
UNITEDHEALTH GROUP INC SR UNSECURED 02/13 4.875 |
2/15/2013 | 4.88 | % | 4,654,683 | ||||||||
UNITEDHEALTH GROUP INC SR UNSECURED 02/13 4.875 |
2/15/2013 | 4.88 | % | 635,203 | ||||||||
UNITEDHEALTH GROUP INC SR UNSECURED 02/18 6. |
2/15/2018 | 6.00 | % | 493,419 | ||||||||
UNITEDHEALTH GROUP INC SR UNSECURED 08/14 5. |
8/15/2014 | 5.00 | % | 217,825 | ||||||||
UNIVERSAL CITY DEVELOPMT COMPANY GUAR 11/16 10.875 |
11/15/2016 | 10.88 | % | 4,144,250 | ||||||||
UNIVERSAL DISPLAY CORP COMMON STOCK USD.01 |
61,272 | |||||||||||
UNIVERSAL HEALTH SERVICES B COMMON STOCK USD.01 |
406,514 | |||||||||||
UPM KYMMENE OYJ SPONS ADR ADR |
323,764 | |||||||||||
URS CORP COMMON STOCK USD.01 |
573,545 | |||||||||||
US BANCORP COMMON STOCK USD.01 |
2,672,540 | |||||||||||
US BANCORP SR UNSECURED 06/13 2. |
6/14/2013 | 2.00 | % | 4,065,252 | ||||||||
US BANCORP SR UNSECURED 09/13 1.375 |
9/13/2013 | 1.38 | % | 905,477 | ||||||||
US BANCORP SR UNSECURED 10/13 1.125 |
10/30/2013 | 1.13 | % | 4,275,981 | ||||||||
US BANK NA SUBORDINATED 02/14 6.3 |
2/4/2014 | 6.30 | % | 2,595,819 | ||||||||
US TREASURY N/B 01/13 0.625 |
1/31/2013 | 0.63 | % | 1,004,883 | ||||||||
US TREASURY N/B 01/13 1.375 |
1/15/2013 | 1.38 | % | 3,082,825 | ||||||||
US TREASURY N/B 01/14 1. |
1/15/2014 | 1.00 | % | 1,014,766 | ||||||||
US TREASURY N/B 01/15 2.25 |
1/31/2015 | 2.25 | % | 8,344,991 | ||||||||
US TREASURY N/B 01/17 3.125 |
1/31/2017 | 3.13 | % | 7,197,364 | ||||||||
US TREASURY N/B 02/12 4.875 |
2/15/2012 | 4.88 | % | 8,266,558 | ||||||||
US TREASURY N/B 02/13 0.625 |
2/28/2013 | 0.63 | % | 30,020,149 | ||||||||
US TREASURY N/B 02/13 0.625 |
2/28/2013 | 0.63 | % | (10,374,825 | ) | |||||||
US TREASURY N/B 02/13 0.625 |
2/28/2013 | 0.63 | % | 18,229,211 | ||||||||
US TREASURY N/B 02/13 1.375 |
2/15/2013 | 1.38 | % | 2,026,640 | ||||||||
US TREASURY N/B 02/13 1.375 |
2/15/2013 | 1.38 | % | 222,930 | ||||||||
US TREASURY N/B 02/14 1.25 |
2/15/2014 | 1.25 | % | 9,174,718 | ||||||||
US TREASURY N/B 02/14 1.25 |
2/15/2014 | 1.25 | % | 25,365,696 | ||||||||
US TREASURY N/B 02/14 1.25 |
2/15/2014 | 1.25 | % | 9,756,429 | ||||||||
US TREASURY N/B 02/14 1.875 |
2/28/2014 | 1.88 | % | 9,756,375 |
- 108 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
US TREASURY N/B 02/14 4. |
2/15/2014 | 4.00 | % | 31,810,686 | ||||||||
US TREASURY N/B 02/14 4. |
2/15/2014 | 4.00 | % | 25,348,685 | ||||||||
US TREASURY N/B 02/15 2.375 |
2/28/2015 | 2.38 | % | 2,122,032 | ||||||||
US TREASURY N/B 02/15 2.375 |
2/28/2015 | 2.38 | % | 8,334,281 | ||||||||
US TREASURY N/B 02/16 2.125 |
2/29/2016 | 2.13 | % | 7,426,566 | ||||||||
US TREASURY N/B 02/18 3.5 |
2/15/2018 | 3.50 | % | 3,146,615 | ||||||||
US TREASURY N/B 02/19 2.75 |
2/15/2019 | 2.75 | % | 706,426 | ||||||||
US TREASURY N/B 02/21 3.625 |
2/15/2021 | 3.63 | % | 12,074,566 | ||||||||
US TREASURY N/B 02/38 4.375 |
2/15/2038 | 4.38 | % | 1,680,656 | ||||||||
US TREASURY N/B 02/41 4.75 |
2/15/2041 | 4.75 | % | 30,125,813 | ||||||||
US TREASURY N/B 03/13 1.375 |
3/15/2013 | 1.38 | % | 19,270,902 | ||||||||
US TREASURY N/B 03/13 1.375 |
3/15/2013 | 1.38 | % | 46,863,791 | ||||||||
US TREASURY N/B 03/14 1.25 |
3/15/2014 | 1.25 | % | 7,148,204 | ||||||||
US TREASURY N/B 03/14 1.75 |
3/31/2014 | 1.75 | % | 3,015,583 | ||||||||
US TREASURY N/B 03/16 2.25 |
3/31/2016 | 2.25 | % | 2,559,938 | ||||||||
US TREASURY N/B 03/16 2.375 |
3/31/2016 | 2.38 | % | 3,105,491 | ||||||||
US TREASURY N/B 03/18 2.875 |
3/31/2018 | 2.88 | % | 88,350,000 | ||||||||
US TREASURY N/B 04/13 0.625 |
4/30/2013 | 0.63 | % | 5,029,100 | ||||||||
US TREASURY N/B 04/13 1.75 |
4/15/2013 | 1.75 | % | 15,297,660 | ||||||||
US TREASURY N/B 04/13 1.75 |
4/15/2013 | 1.75 | % | 7,189,900 | ||||||||
US TREASURY N/B 04/13 1.75 |
4/15/2013 | 1.75 | % | 16,603,060 | ||||||||
US TREASURY N/B 04/14 1.25 |
4/15/2014 | 1.25 | % | 4,086,564 | ||||||||
US TREASURY N/B 04/14 1.875 |
4/30/2014 | 1.88 | % | 10,932,438 | ||||||||
US TREASURY N/B 04/14 1.875 |
4/30/2014 | 1.88 | % | 3,538,794 | ||||||||
US TREASURY N/B 04/15 2.5 |
4/30/2015 | 2.50 | % | 2,988,126 | ||||||||
US TREASURY N/B 04/16 2. |
4/30/2016 | 2.00 | % | 10,559,380 | ||||||||
US TREASURY N/B 04/16 2. |
4/30/2016 | 2.00 | % | 6,388,425 | ||||||||
US TREASURY N/B 04/16 2.625 |
4/30/2016 | 2.63 | % | 540,977 | ||||||||
US TREASURY N/B 04/17 3.125 |
4/30/2017 | 3.13 | % | 4,009,500 | ||||||||
US TREASURY N/B 05/13 0.5 |
5/31/2013 | 0.50 | % | 40,806,439 | ||||||||
US TREASURY N/B 05/13 0.5 |
5/31/2013 | 0.50 | % | 120,506 | ||||||||
US TREASURY N/B 05/13 0.5 |
5/31/2013 | 0.50 | % | 4,353,289 | ||||||||
US TREASURY N/B 05/13 1.375 |
5/15/2013 | 1.38 | % | 16,253,744 | ||||||||
US TREASURY N/B 05/13 1.375 |
5/15/2013 | 1.38 | % | 44,530,179 | ||||||||
US TREASURY N/B 05/13 1.375 |
5/15/2013 | 1.38 | % | 9,488,123 | ||||||||
US TREASURY N/B 05/14 1. |
5/15/2014 | 1.00 | % | 15,248,430 | ||||||||
US TREASURY N/B 05/14 1. |
5/15/2014 | 1.00 | % | 15,319,589 | ||||||||
US TREASURY N/B 05/14 1. |
5/15/2014 | 1.00 | % | 223,644 | ||||||||
US TREASURY N/B 05/14 1. |
5/15/2014 | 1.00 | % | 2,693,889 | ||||||||
US TREASURY N/B 05/14 4.75 |
5/15/2014 | 4.75 | % | 16,739,167 | ||||||||
US TREASURY N/B 05/14 4.75 |
5/15/2014 | 4.75 | % | 8,908,043 | ||||||||
US TREASURY N/B 05/16 1.75 |
5/31/2016 | 1.75 | % | 2,091,406 | ||||||||
US TREASURY N/B 05/19 3.125 |
5/15/2019 | 3.13 | % | 2,018,250 | ||||||||
US TREASURY N/B 05/19 3.125 |
5/15/2019 | 3.13 | % | 1,446,413 | ||||||||
US TREASURY N/B 05/21 3.125 |
5/15/2021 | 3.13 | % | 38,471,144 | ||||||||
US TREASURY N/B 05/21 3.125 |
5/15/2021 | 3.13 | % | 62,304,160 | ||||||||
US TREASURY N/B 05/21 3.125 |
5/15/2021 | 3.13 | % | 1,211,470 | ||||||||
US TREASURY N/B 05/21 8.125 |
5/15/2021 | 8.13 | % | 21,316,351 | ||||||||
US TREASURY N/B 05/39 4.25 |
5/15/2039 | 4.25 | % | 127,219 | ||||||||
US TREASURY N/B 05/40 4.375 |
5/15/2040 | 4.38 | % | 45,252,825 | ||||||||
US TREASURY N/B 05/41 4.375 |
5/15/2041 | 4.38 | % | 6,931,795 |
- 109 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
US TREASURY N/B 05/41 4.375 |
5/15/2041 | 4.38 | % | 4,820,985 | ||||||||
US TREASURY N/B 06/13 1.125 |
6/15/2013 | 1.13 | % | 21,985,659 | ||||||||
US TREASURY N/B 06/13 1.125 |
6/15/2013 | 1.13 | % | 49,898,327 | ||||||||
US TREASURY N/B 06/14 0.75 |
6/15/2014 | 0.75 | % | 2,021,718 | ||||||||
US TREASURY N/B 06/14 0.75 |
6/15/2014 | 0.75 | % | 68,799,064 | ||||||||
US TREASURY N/B 06/14 0.75 |
6/15/2014 | 0.75 | % | 9,896,313 | ||||||||
US TREASURY N/B 06/14 0.75 |
6/15/2014 | 0.75 | % | 53,934,382 | ||||||||
US TREASURY N/B 06/16 1.5 |
6/30/2016 | 1.50 | % | 7,652,643 | ||||||||
US TREASURY N/B 06/16 1.5 |
6/30/2016 | 1.50 | % | 13,754,075 | ||||||||
US TREASURY N/B 06/18 2.375 |
6/30/2018 | 2.38 | % | 5,861,444 | ||||||||
US TREASURY N/B 06/18 2.375 |
6/30/2018 | 2.38 | % | 19,973,916 | ||||||||
US TREASURY N/B 06/18 2.375 |
6/30/2018 | 2.38 | % | 5,627,982 | ||||||||
US TREASURY N/B 07/12 0.625 |
7/31/2012 | 0.63 | % | 1,003,086 | ||||||||
US TREASURY N/B 07/13 1. |
7/15/2013 | 1.00 | % | 28,748,477 | ||||||||
US TREASURY N/B 07/14 2.625 |
7/31/2014 | 2.63 | % | 9,528,048 | ||||||||
US TREASURY N/B 07/15 1.75 |
7/31/2015 | 1.75 | % | 3,131,250 | ||||||||
US TREASURY N/B 07/16 1.5 |
7/31/2016 | 1.50 | % | 7,236,796 | ||||||||
US TREASURY N/B 07/18 2.25 |
7/31/2018 | 2.25 | % | 27,701,306 | ||||||||
US TREASURY N/B 07/18 2.25 |
7/31/2018 | 2.25 | % | 7,806,780 | ||||||||
US TREASURY N/B 08/12 0.375 |
8/31/2012 | 0.38 | % | 2,003,516 | ||||||||
US TREASURY N/B 08/12 1.75 |
8/15/2012 | 1.75 | % | 30,203,664 | ||||||||
US TREASURY N/B 08/13 0.125 |
8/31/2013 | 0.13 | % | 1,167,943 | ||||||||
US TREASURY N/B 08/13 0.75 |
8/15/2013 | 0.75 | % | 30,249,600 | ||||||||
US TREASURY N/B 08/13 3.125 |
8/31/2013 | 3.13 | % | 12,571,872 | ||||||||
US TREASURY N/B 08/13 4.25 |
8/15/2013 | 4.25 | % | 54,884,852 | ||||||||
US TREASURY N/B 08/14 0.5 |
8/15/2014 | 0.50 | % | 5,324,014 | ||||||||
US TREASURY N/B 08/14 0.5 |
8/15/2014 | 0.50 | % | 60,693,763 | ||||||||
US TREASURY N/B 08/14 0.5 |
8/15/2014 | 0.50 | % | 31,994,312 | ||||||||
US TREASURY N/B 08/14 2.375 |
8/31/2014 | 2.38 | % | 20,657,919 | ||||||||
US TREASURY N/B 08/16 1. |
8/31/2016 | 1.00 | % | 8,592,973 | ||||||||
US TREASURY N/B 08/17 1.875 |
8/31/2017 | 1.88 | % | 55,995,294 | ||||||||
US TREASURY N/B 08/17 1.875 |
8/31/2017 | 1.88 | % | 7,063,778 | ||||||||
US TREASURY N/B 08/20 2.625 |
8/15/2020 | 2.63 | % | 26,315,790 | ||||||||
US TREASURY N/B 08/21 2.125 |
8/15/2021 | 2.13 | % | 80,716,688 | ||||||||
US TREASURY N/B 08/21 2.125 |
8/15/2021 | 2.13 | % | 5,830,678 | ||||||||
US TREASURY N/B 08/21 8.125 |
8/15/2021 | 8.13 | % | 9,240,875 | ||||||||
US TREASURY N/B 08/23 6.25 |
8/15/2023 | 6.25 | % | 6,870,000 | ||||||||
US TREASURY N/B 08/41 3.75 |
8/15/2041 | 3.75 | % | 65,155,608 | ||||||||
US TREASURY N/B 08/41 3.75 |
8/15/2041 | 3.75 | % | 214,049 | ||||||||
US TREASURY N/B 09/12 1.375 |
9/15/2012 | 1.38 | % | 12,080,248 | ||||||||
US TREASURY N/B 09/13 0.75 |
9/15/2013 | 0.75 | % | 2,017,110 | ||||||||
US TREASURY N/B 09/16 1. |
9/30/2016 | 1.00 | % | 3,030,936 | ||||||||
US TREASURY N/B 09/16 1. |
9/30/2016 | 1.00 | % | 12,386,425 | ||||||||
US TREASURY N/B 09/16 1. |
9/30/2016 | 1.00 | % | 86,209,923 | ||||||||
US TREASURY N/B 09/16 3. |
9/30/2016 | 3.00 | % | 15,640,061 | ||||||||
US TREASURY N/B 09/17 1.875 |
9/30/2017 | 1.88 | % | 17,474,227 | ||||||||
US TREASURY N/B 09/17 1.875 |
9/30/2017 | 1.88 | % | 34,712,160 | ||||||||
US TREASURY N/B 09/18 1.375 |
9/30/2018 | 1.38 | % | 7,786,150 | ||||||||
US TREASURY N/B 09/18 1.375 |
9/30/2018 | 1.38 | % | 20,153,063 | ||||||||
US TREASURY N/B 10/12 0.375 |
10/31/2012 | 0.38 | % | 4,007,968 | ||||||||
US TREASURY N/B 10/12 0.375 |
10/31/2012 | 0.38 | % | 16,432,669 |
- 110 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
US TREASURY N/B 10/12 1.375 |
10/15/2012 | 1.38 | % | 1,009,727 | ||||||||
US TREASURY N/B 10/13 0.25 |
10/31/2013 | 0.25 | % | 600,094 | ||||||||
US TREASURY N/B 10/13 0.25 |
10/31/2013 | 0.25 | % | 198,710,994 | ||||||||
US TREASURY N/B 10/16 3.125 |
10/31/2016 | 3.13 | % | 27,415,772 | ||||||||
US TREASURY N/B 11/12 0.5 |
11/30/2012 | 0.50 | % | 1,003,203 | ||||||||
US TREASURY N/B 11/13 0.25 |
11/30/2013 | 0.25 | % | 547,953,103 | ||||||||
US TREASURY N/B 11/13 4.25 |
11/15/2013 | 4.25 | % | 4,172,428 | ||||||||
US TREASURY N/B 11/14 0.375 |
11/15/2014 | 0.38 | % | 125,568,431 | ||||||||
US TREASURY N/B 11/14 0.375 |
11/15/2014 | 0.38 | % | 109,880,633 | ||||||||
US TREASURY N/B 11/14 0.375 |
11/15/2014 | 0.38 | % | 31,502,301 | ||||||||
US TREASURY N/B 11/16 0.875 |
11/30/2016 | 0.88 | % | 5,015,235 | ||||||||
US TREASURY N/B 11/16 0.875 |
11/30/2016 | 0.88 | % | 57,872,803 | ||||||||
US TREASURY N/B 11/16 0.875 |
11/30/2016 | 0.88 | % | 22,621,719 | ||||||||
US TREASURY N/B 11/16 0.875 |
11/30/2016 | 0.88 | % | 6,053,920 | ||||||||
US TREASURY N/B 11/17 2.25 |
11/30/2017 | 2.25 | % | 1,856,363 | ||||||||
US TREASURY N/B 11/18 1.375 |
11/30/2018 | 1.38 | % | 28,899,014 | ||||||||
US TREASURY N/B 11/18 1.375 |
11/30/2018 | 1.38 | % | 1,682,766 | ||||||||
US TREASURY N/B 11/19 3.375 |
11/15/2019 | 3.38 | % | 267,882 | ||||||||
US TREASURY N/B 11/20 2.625 |
11/15/2020 | 2.63 | % | 8,181,871 | ||||||||
US TREASURY N/B 11/21 2. |
11/15/2021 | 2.00 | % | 333,764 | ||||||||
US TREASURY N/B 11/21 2. |
11/15/2021 | 2.00 | % | 57,806,910 | ||||||||
US TREASURY N/B 11/21 2. |
11/15/2021 | 2.00 | % | 58,762,689 | ||||||||
US TREASURY N/B 11/21 2. |
11/15/2021 | 2.00 | % | 3,161,655 | ||||||||
US TREASURY N/B 11/21 2. |
11/15/2021 | 2.00 | % | 21,472,149 | ||||||||
US TREASURY N/B 11/39 4.375 |
11/15/2039 | 4.38 | % | 458,293 | ||||||||
US TREASURY N/B 11/39 4.375 |
11/15/2039 | 4.38 | % | 16,228,513 | ||||||||
US TREASURY N/B 11/41 3.125 |
11/15/2041 | 3.13 | % | 10,649,423 | ||||||||
US TREASURY N/B 11/41 3.125 |
11/15/2041 | 3.13 | % | 2,731,239 | ||||||||
US TREASURY N/B 11/41 3.125 |
11/15/2041 | 3.13 | % | 1,361,953 | ||||||||
US TREASURY N/B 12/12 0.625 |
12/31/2012 | 0.63 | % | 2,009,376 | ||||||||
US TREASURY N/B 12/13 0.75 |
12/15/2013 | 0.75 | % | 1,009,648 | ||||||||
US TREASURY N/B 12/13 1.5 |
12/31/2013 | 1.50 | % | 6,036,331 | ||||||||
US TREASURY N/B 12/15 2.125 |
12/31/2015 | 2.13 | % | 1,590,938 | ||||||||
US TREASURY N/B 12/16 0.875 |
12/31/2016 | 0.75 | % | 11,821,205 | ||||||||
USAA AUTO OWNER TRUST USAOT 2009 2 A3 |
2/18/2014 | 1.54 | % | 715,040 | ||||||||
UTI WORLDWIDE INC COMMON STOCK NPV |
1,327,671 | |||||||||||
VALERO ENERGY CORP COMPANY GUAR 02/15 4.5 |
2/1/2015 | 4.50 | % | 2,222,222 | ||||||||
VALERO ENERGY CORP COMPANY GUAR 02/15 4.5 |
2/1/2015 | 4.50 | % | 690,098 | ||||||||
VALERO ENERGY CORP COMPANY GUAR 06/13 4.75 |
6/15/2013 | 4.75 | % | 4,286,544 | ||||||||
VALUE OF SYNTHETIC GICS |
3,145,576 | |||||||||||
VANGUARD HEALTH SYSTEMS INC COMMON STOCK |
981,120 | |||||||||||
VANGUARD HEALTH SYSTEMS INC COMMON STOCK |
646,926 | |||||||||||
VARIAN MEDICAL SYSTEMS INC COMMON STOCK USD1. |
820,799 | |||||||||||
VERIFONE SYSTEMS INC COMMON STOCK USD.01 |
1,438,880 | |||||||||||
VERIFONE SYSTEMS INC COMMON STOCK USD.01 |
4,907,443 | |||||||||||
VERISIGN INC COMMON STOCK USD.001 |
2,591,843 | |||||||||||
VERIZON COMMUNICATIONS 11/21 FIXED 3.5 |
11/1/2021 | 3.50 | % | 1,186,879 | ||||||||
VERIZON COMMUNICATIONS 11/21 FIXED 3.5 |
11/1/2021 | 3.50 | % | 2,352,936 | ||||||||
VERIZON COMMUNICATIONS SR UNSECURED 02/13 4.35 |
2/15/2013 | 4.35 | % | 3,491,564 | ||||||||
VERIZON COMMUNICATIONS SR UNSECURED 02/13 4.35 |
2/15/2013 | 4.35 | % | 4,173,251 | ||||||||
VERIZON COMMUNICATIONS SR UNSECURED 02/13 4.35 |
2/15/2013 | 4.35 | % | 478,012 |
- 111 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
VERIZON COMMUNICATIONS SR UNSECURED 03/14 1.95 |
3/28/2014 | 1.95 | % | 612,394 | ||||||||
VERIZON COMMUNICATIONS SR UNSECURED 03/14 1.95 |
3/28/2014 | 1.95 | % | 12,890,885 | ||||||||
VERIZON COMMUNICATIONS SR UNSECURED 04/13 5.25 |
4/15/2013 | 5.25 | % | 7,386,631 | ||||||||
VERIZON COMMUNICATIONS SR UNSECURED 04/21 4.6 |
4/1/2021 | 4.60 | % | 2,489,150 | ||||||||
VERIZON COMMUNICATIONS SR UNSECURED 04/41 6. |
4/1/2041 | 6.00 | % | 1,835,009 | ||||||||
VERIZON NEW JERSEY INC SR UNSECURED 01/12 5.875 |
1/17/2012 | 5.88 | % | 6,600,841 | ||||||||
VERIZON NEW JERSEY INC SR UNSECURED 01/12 5.875 |
1/17/2012 | 5.88 | % | 1,752,879 | ||||||||
VERTEX PHARMACEUTICALS INC COMMON STOCK USD.01 |
2,261,701 | |||||||||||
VIACOM INC CLASS B COMMON STOCK USD.001 |
11,000,573 | |||||||||||
VIACOM INC CLASS B COMMON STOCK USD.001 |
3,942,496 | |||||||||||
VIACOM INC SR UNSECURED 04/16 6.25 |
4/30/2016 | 6.25 | % | 760,316 | ||||||||
VINCI SA COMMON STOCK EUR2.5 |
351,349 | |||||||||||
VIRGIN MEDIA SECURED FIN SR SECURED 01/18 6.5 |
1/15/2018 | 6.50 | % | 1,338,750 | ||||||||
VISA INC CLASS A SHARES COMMON STOCK USD.0001 |
5,647,099 | |||||||||||
VISA INC CLASS A SHARES COMMON STOCK USD.0001 |
11,589,142 | |||||||||||
VISA INC CLASS A SHARES COMMON STOCK USD.0001 |
3,770,520 | |||||||||||
VMWARE INC CLASS A COMMON STOCK USD.01 |
1,499,084 | |||||||||||
VMWARE INC CLASS A COMMON STOCK USD.01 |
7,882,169 | |||||||||||
VODAFONE GROUP PLC COMMON STOCK USD.142857 |
5,000,770 | |||||||||||
VODAFONE GROUP PLC SP ADR ADR |
13,441,787 | |||||||||||
VODAFONE GROUP PLC SP ADR ADR |
5,002,794 | |||||||||||
VODAFONE GROUP PLC SR UNSECURED 06/14 4.15 |
6/10/2014 | 4.15 | % | 477,142 | ||||||||
VODAFONE GROUP PLC SR UNSECURED 06/14 4.15 |
6/10/2014 | 4.15 | % | 3,446,024 | ||||||||
VODAFONE GROUP PLC SR UNSECURED 12/13 5. |
12/16/2013 | 5.00 | % | 268,249 | ||||||||
VODAFONE GROUP PLC SR UNSECURED 12/13 5. |
12/16/2013 | 5.00 | % | 209,234 | ||||||||
VOLCANO CORP COMMON STOCK USD.001 |
1,194,258 | |||||||||||
VOLKSWAGEN AG PFD PREFERENCE |
1,847,457 | |||||||||||
VOLKSWAGEN AUTO LOAN ENHANCED VALET 2010 1 A3 |
1/20/2014 | 1.31 | % | 538,265 | ||||||||
VOLKSWAGEN AUTO LOAN ENHANCED VALET 2011 1 A4 |
9/20/2017 | 1.98 | % | 1,024,623 | ||||||||
VST HOLDINGS LTD COMMON STOCK HKD.1 |
82,180 | |||||||||||
WABCO HOLDINGS INC COMMON STOCK USD.01 |
1,948,660 | |||||||||||
WABTEC CORP COMMON STOCK USD.01 |
1,417,887 | |||||||||||
WABTEC CORP COMMON STOCK USD.01 |
909,350 | |||||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2004 C11 A5 |
1/15/2041 | 5.22 | % | 773,274 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2005 C17 A2 |
3/15/2042 | 4.78 | % | 631,803 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2005 C17 AJ |
3/15/2042 | 5.22 | % | 717,780 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2005 C20 AMFX |
7/15/2042 | 5.18 | % | 965,374 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C23 A4 |
1/15/2045 | 5.42 | % | 2,167,920 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C25 A4 |
5/15/2043 | 5.74 | % | 276,687 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C27 A3 |
7/15/2045 | 5.77 | % | 885,198 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C28 A2 |
10/15/2048 | 5.50 | % | 575,262 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2006 C29 A4 |
11/15/2048 | 5.31 | % | 575,294 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2007 C30 A3 |
12/15/2043 | 5.25 | % | 4,042,600 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2007 C30 A3 |
12/15/2043 | 5.25 | % | 7,812,325 | ||||||||
WACHOVIA BANK COMMERCIAL MORTG WBCMT 2007 C34 A2 |
5/15/2046 | 5.57 | % | 1,680,486 | ||||||||
WACHOVIA BANK NA SUBORDINATED 11/14 4.8 |
11/1/2014 | 4.80 | % | 8,669,158 | ||||||||
WACHOVIA BANK NA SUBORDINATED 11/14 4.8 |
11/1/2014 | 4.80 | % | 5,963,330 | ||||||||
WACHOVIA BANK NA SUBORDINATED 11/14 VAR |
11/3/2014 | 0.81 | % | 942,662 | ||||||||
WACHOVIA CAP TRUST III LIMITD GUARA 03/49 VAR |
12/31/2049 | 5.57 | % | 2,487,375 | ||||||||
WACHOVIA CORP SUBORDINATED 08/14 5.25 |
8/1/2014 | 5.25 | % | 3,343,630 | ||||||||
WACHOVIA CORP SUBORDINATED 08/14 5.25 |
8/1/2014 | 5.25 | % | 464,100 |
- 112 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
WACHOVIA CORP SUBORDINATED 10/16 5.625 |
10/15/2016 | 5.63 | % | 6,815,243 | ||||||||
WACHOVIA CORP SUBORDINATED 10/16 5.625 |
10/15/2016 | 5.63 | % | 936,279 | ||||||||
WAL MART STORES INC COMMON STOCK USD.1 |
6,923,794 | |||||||||||
WAL MART STORES INC SR UNSECURED 02/18 5.8 |
2/15/2018 | 5.80 | % | 2,231,020 | ||||||||
WAL MART STORES INC SR UNSECURED 02/18 5.8 |
2/15/2018 | 5.80 | % | 1,041,960 | ||||||||
WAL MART STORES INC SR UNSECURED 04/13 4.25 |
4/15/2013 | 4.25 | % | 576,719 | ||||||||
WAL MART STORES INC SR UNSECURED 04/14 1.625 |
4/15/2014 | 1.63 | % | 4,093,058 | ||||||||
WAL MART STORES INC SR UNSECURED 04/38 6.2 |
4/15/2038 | 6.20 | % | 671,467 | ||||||||
WAL MART STORES INC SR UNSECURED 05/13 4.55 |
5/1/2013 | 4.55 | % | 844,363 | ||||||||
WALGREEN CO COMMON STOCK USD.078125 |
1,497,949 | |||||||||||
WALT DISNEY CO/THE COMMON STOCK USD.01 |
5,193,375 | |||||||||||
WALT DISNEY CO/THE COMMON STOCK USD.01 |
6,979,388 | |||||||||||
WALT DISNEY COMPANY/THE 12/14 FIXED .875 |
12/1/2014 | 0.88 | % | 351,639 | ||||||||
WALT DISNEY COMPANY/THE 12/14 FIXED .875 |
12/1/2014 | 0.88 | % | 6,153,677 | ||||||||
WALT DISNEY COMPANY/THE SR UNSECURED 03/12 6.375 |
3/1/2012 | 6.38 | % | 302,702 | ||||||||
WALT DISNEY COMPANY/THE SR UNSECURED 08/21 2.75 |
8/16/2021 | 2.75 | % | 631,410 | ||||||||
WAMU MORTGAGE PASS THROUGH CER WAMU 2002 AR2 A |
2/27/2034 | 2.47 | % | 5,834,031 | ||||||||
WAMU MORTGAGE PASS THROUGH CER WAMU 2004 AR14 A1 |
1/25/2035 | 2.48 | % | 2,796,280 | ||||||||
WAMU MORTGAGE PASS THROUGH CER WAMU 2004 AR2 A |
4/25/2044 | 1.61 | % | 474,570 | ||||||||
WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR13 A1A1 |
10/25/2045 | 0.58 | % | 1,949,238 | ||||||||
WAMU MORTGAGE PASS THROUGH CER WAMU 2005 AR2 2A1A |
1/25/2045 | 0.57 | % | 3,943,486 | ||||||||
WAMU MORTGAGE PASS THROUGH CER WAMU 2006 AR13 2A |
10/25/2046 | 2.72 | % | 563,498 | ||||||||
WAMU MORTGAGE PASS THROUGH CER WAMU 2007 OA6 1A1B |
7/25/2047 | 1.02 | % | 1,104,170 | ||||||||
WARSAW STOCK EXCHANGE COMMON STOCK PLN1. |
140,633 | |||||||||||
WASHINGTON MUTUAL MSC MORTGAGE WAMMS 2003 AR1 2A |
2/25/2033 | 2.12 | % | 34,831 | ||||||||
WASHINGTON MUTUAL MSC MORTGAGE WAMMS 2003 MS2 3A1 |
3/25/2018 | 5.00 | % | 982,987 | ||||||||
WASHINGTON ST WAS 08/20 FIXED 5 |
8/1/2020 | 5.00 | % | 4,763,870 | ||||||||
WASTE CONNECTIONS INC COMMON STOCK USD.01 |
1,042,518 | |||||||||||
WASTE CONNECTIONS INC COMMON STOCK USD.01 |
2,061,308 | |||||||||||
WASTE MANAGEMENT INC COMPANY GUAR 05/29 7.375 |
5/15/2029 | 7.38 | % | 559,464 | ||||||||
WASTE MANAGEMENT INC COMPANY GUAR 11/12 6.375 |
11/15/2012 | 6.38 | % | 470,439 | ||||||||
WATERS CORP COMMON STOCK USD.01 |
1,207,015 | |||||||||||
WATERS CORP COMMON STOCK USD.01 |
413,199 | |||||||||||
WATSCO INC COMMON STOCK USD.5 |
188,773 | |||||||||||
WATSON PHARMACEUTICALS I SR UNSECURED 08/14 5. |
8/15/2014 | 5.00 | % | 557,984 | ||||||||
WATSON PHARMACEUTICALS INC COMMON STOCK USD.0033 |
935,270 | |||||||||||
WATSON PHARMACEUTICALS INC COMMON STOCK USD.0033 |
1,858,472 | |||||||||||
WAVIN NV COMMON STOCK EUR.4 |
253,271 | |||||||||||
WEA FINANCE/WT FIN AUST COMPANY GUAR 144A 06/14 7.5 |
6/2/2014 | 7.50 | % | 926,324 | ||||||||
WEA FINANCE/WT FIN AUST COMPANY GUAR 144A 06/14 7.5 |
6/2/2014 | 7.50 | % | 1,830,724 | ||||||||
WEATHERFORD BERMUDA COMPANY GUAR 03/13 5.15 |
3/15/2013 | 5.15 | % | 4,367,542 | ||||||||
WEATHERFORD BERMUDA COMPANY GUAR 03/19 9.625 |
3/1/2019 | 9.63 | % | 1,060,499 | ||||||||
WEBSTER FINANCIAL CORP COMMON STOCK USD.01 |
1,880,264 | |||||||||||
WELLCARE HEALTH PLANS INC COMMON STOCK USD.01 |
1,454,250 | |||||||||||
WELLCARE HEALTH PLANS INC COMMON STOCK USD.01 |
721,980 | |||||||||||
WELLINGTON CIF II DIVERSIFIED REAL ASSETS PORTFOLIO |
71,653,456 | |||||||||||
WELLINGTON CIF II GLOBAL EQUITIES PORTFOLIO |
50,177,926 | |||||||||||
WELLPOINT HEALTH NETWORK SR UNSECURED 01/12 6.375 |
1/15/2012 | 6.38 | % | 2,133,806 | ||||||||
WELLPOINT INC COMMON STOCK USD.01 |
910,275 | |||||||||||
WELLPOINT INC SR UNSECURED 02/14 6. |
2/15/2014 | 6.00 | % | 239,791 | ||||||||
WELLPOINT INC SR UNSECURED 02/14 6. |
2/15/2014 | 6.00 | % | 32,699 |
- 113 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
WELLPOINT INC SR UNSECURED 06/17 5.875 |
6/15/2017 | 5.88 | % | 4,499,587 | ||||||||
WELLPOINT INC SR UNSECURED 06/17 5.875 |
6/15/2017 | 5.88 | % | 622,222 | ||||||||
WELLPOINT INC SR UNSECURED 08/20 4.35 |
8/15/2020 | 4.35 | % | 707,559 | ||||||||
WELLS FARGO & COMPANY FDIC GUARANT 06/12 2.125 |
6/15/2012 | 2.13 | % | 1,664,893 | ||||||||
WELLS FARGO & COMPANY SR UNSECURED 01/13 4.375 |
1/31/2013 | 4.38 | % | 7,234,507 | ||||||||
WELLS FARGO & COMPANY SR UNSECURED 06/16 3.676 |
6/15/2016 | 3.68 | % | 1,536,147 | ||||||||
WELLS FARGO & COMPANY SR UNSECURED 10/12 5.25 |
10/23/2012 | 5.25 | % | 2,587,693 | ||||||||
WELLS FARGO & COMPANY SR UNSECURED 10/14 3.75 |
10/1/2014 | 3.75 | % | 4,645,150 | ||||||||
WELLS FARGO & COMPANY SR UNSECURED 12/17 5.625 |
12/11/2017 | 5.63 | % | 1,937,198 | ||||||||
WELLS FARGO + CO COMMON STOCK USD1.666 |
11,963,796 | |||||||||||
WELLS FARGO + CO COMMON STOCK USD1.666 |
6,555,146 | |||||||||||
WELLS FARGO BANK NA SUBORDINATED 05/16 VAR |
5/16/2016 | 0.67 | % | 1,318,569 | ||||||||
WELLS FARGO CAPITAL X LIMITD GUARA 12/86 5.95 |
12/1/2086 | 5.95 | % | 1,872,338 | ||||||||
WELLS FARGO MORTGAGE BACKED SE WFMBS 2003 11 2A1 |
10/25/2018 | 4.75 | % | 717,185 | ||||||||
WELLS FARGO MORTGAGE BACKED SE WFMBS 2003 13 A5 |
11/25/2018 | 4.50 | % | 295,842 | ||||||||
WELLS FARGO MORTGAGE BACKED SE WFMBS 2004 AA A1 |
12/25/2034 | 3.32 | % | 1,612,274 | ||||||||
WELLS FARGO MORTGAGE BACKED SE WFMBS 2004 EE 2A1 |
12/25/2034 | 2.71 | % | 2,249,549 | ||||||||
WELLS FARGO MORTGAGE BACKED SE WFMBS 2005 1 1A1 |
1/25/2020 | 4.75 | % | 1,001,000 | ||||||||
WELLS FARGO MORTGAGE BACKED SE WFMBS 2005 13 A1 |
11/25/2020 | 5.00 | % | 1,036,186 | ||||||||
WELLS FARGO MORTGAGE BACKED SE WFMBS 2006 AR8 2A3 |
4/25/2036 | 2.70 | % | 517,361 | ||||||||
WERNER ENTERPRISES INC COMMON STOCK USD.01 |
1,588,219 | |||||||||||
WESCO INTERNATIONAL INC COMMON STOCK USD.01 |
3,021,570 | |||||||||||
WEST JAPAN RAILWAY UNSP ADR ADR |
429,841 | |||||||||||
WESTERN ALLIANCE BANCORP COMMON STOCK USD.0001 |
1,481,151 | |||||||||||
WESTERN DIGITAL CORP COMMON STOCK USD.01 |
1,124,630 | |||||||||||
WESTERN UNION CO COMMON STOCK USD.01 |
8,250,964 | |||||||||||
WESTERN UNION CO COMMON STOCK USD.01 |
2,905,166 | |||||||||||
WESTPAC BANKING CORP SR UNSECURED 08/13 2.1 |
8/2/2013 | 2.10 | % | 1,152,146 | ||||||||
WESTPAC BANKING CORP SR UNSECURED 08/15 3. |
8/4/2015 | 3.00 | % | 733,411 | ||||||||
WESTPAC BANKING CORP SR UNSECURED 11/12 2.25 |
11/19/2012 | 2.25 | % | 1,312,923 | ||||||||
WESTPAC BANKING CORP SR UNSECURED 12/13 1.85 |
12/9/2013 | 1.85 | % | 50,046 | ||||||||
WESTPAC BANKING CORP SR UNSECURED 12/13 1.85 |
12/9/2013 | 1.85 | % | 190,175 | ||||||||
WESTPAC BANKING CORP SR UNSECURED 12/15 3. |
12/9/2015 | 3.00 | % | 396,920 | ||||||||
WF RBS COMMERCIAL MORTGAGE TRU WFRBS 2011 C3 A1 144A |
3/15/2044 | 1.99 | % | 1,305,702 | ||||||||
WF RBS COMMERCIAL MORTGAGE TRU WFRBS 2011 C3 A4 144A |
3/15/2044 | 4.38 | % | 819,894 | ||||||||
WF RBS COMMERCIAL MORTGAGE TRU WFRBS 2011 C4 A4 144A |
6/15/2044 | 4.90 | % | 1,283,309 | ||||||||
WF RBS COMMERCIAL MORTGAGE TRU WFRBS 2011 C5 A4 |
11/15/2044 | 3.67 | % | 526,670 | ||||||||
WGL HOLDINGS INC COMMON STOCK NPV |
1,607,618 | |||||||||||
WHITING PETROLEUM CORP COMMON STOCK USD.001 |
1,951,642 | |||||||||||
WHOLE FOODS MARKET INC COMMON STOCK NPV |
6,062,714 | |||||||||||
WI TREASURY N/B 10/16 1 |
10/31/2016 | 1.00 | % | 11,106,568 | ||||||||
WI TREASURY N/B 10/18 1.75 |
10/31/2018 | 1.75 | % | 33,485,640 | ||||||||
WI TREASURY N/B 12/14 0.25 |
12/15/2014 | 0.25 | % | 61,567,333 | ||||||||
WI TREASURY N/B 12/14 0.25 |
12/15/2014 | 0.25 | % | 32,799,443 | ||||||||
WI TREASURY N/B 12/14 0.25 |
12/15/2014 | 0.25 | % | 12,877,609 | ||||||||
WI TREASURY N/B 12/14 0.25 |
12/15/2014 | 0.25 | % | 13,206,527 | ||||||||
WI TREASURY N/B 12/14 0.25 |
12/15/2014 | 0.25 | % | 3,847,033 | ||||||||
WIENERBERGER AG COMMON STOCK NPV |
150,177 | |||||||||||
WILEY (JOHN) + SONS CLASS A COMMON STOCK USD1. |
1,665,000 | |||||||||||
WILEY (JOHN) + SONS CLASS A COMMON STOCK USD1. |
1,829,280 | |||||||||||
WILLIAMS COS INC SR UNSECURED 01/31 7.5 |
1/15/2031 | 7.50 | % | 2,365,662 |
- 114 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||
WING HANG BANK LTD COMMON STOCK HKD1. |
253,288 | |||||||
WISCONSIN ENERGY CORP COMMON STOCK USD.01 |
1,604,664 | |||||||
WOLVERINE WORLD WIDE INC COMMON STOCK USD1. |
861,383 |
- 115 -
THE BOEING COMPANY
VOLUNTARY INVESTMENT PLAN
SCHEDULE OF MASTER TRUST ASSETS HELD FOR INVESTMENT PURPOSES
AS OF DECEMBER 31, 2011
Security Name | Maturity Date |
Coupon Rate |
Fair Value | |||||||||
WOLVERINE WORLD WIDE INC COMMON STOCK USD1. |
2,160,140 | |||||||||||
WOODWARD INC COMMON STOCK USD.00292 |
857,197 | |||||||||||
WORLD FINANCIAL NETWORK CREDIT WFNMT 2009 D A |
5/15/2017 | 4.66 | % | 943,371 | ||||||||
WORLD OMNI AUTO RECEIVABLES TR WOART 2009 A A3 |
5/15/2013 | 3.33 | % | 354,757 | ||||||||
WORLD OMNI AUTO RECEIVABLES TR WOART 2009 A A4 |
5/15/2014 | 5.12 | % | 869,990 | ||||||||
WORLD OMNI AUTO RECEIVABLES TR WOART 2010 A A4 |
5/15/2015 | 2.21 | % | 811,143 | ||||||||
WOTIF.COM HOLDINGS LTD COMMON STOCK NPV |
201,316 | |||||||||||
WPP PLC COMMON STOCK GBP.1 |
1,339,643 | |||||||||||
WR BERKLEY CORP COMMON STOCK USD.2 |
1,444,380 | |||||||||||
WRIGHT EXPRESS CORP COMMON STOCK USD.01 |
3,311,080 | |||||||||||
WYETH COMPANY GUAR 02/14 5.5 |
2/1/2014 | 5.50 | % | 6,533,710 | ||||||||
WYETH COMPANY GUAR 03/13 5.5 |
3/15/2013 | 5.50 | % | 1,585,655 | ||||||||
WYETH COMPANY GUAR 03/13 5.5 |
3/15/2013 | 5.50 | % | 4,759,078 | ||||||||
WYETH COMPANY GUAR 04/17 5.45 |
4/1/2017 | 5.45 | % | 1,435,076 | ||||||||
WYETH COMPANY GUAR 04/37 5.95 |
4/1/2037 | 5.95 | % | 371,482 | ||||||||
WYNN MACAU LTD COMMON STOCK HKD.001 |
631,559 | |||||||||||
XEBIO CO LTD COMMON STOCK |
345,068 | |||||||||||
XEROX CORPORATION SR UNSECURED 02/15 4.25 |
2/15/2015 | 4.25 | % | 440,570 | ||||||||
XEROX CORPORATION SR UNSECURED 05/12 5.5 |
5/15/2012 | 5.50 | % | 1,309,356 | ||||||||
XEROX CORPORATION SR UNSECURED 05/12 5.5 |
5/15/2012 | 5.50 | % | 1,194,483 | ||||||||
XEROX CORPORATION SR UNSECURED 05/13 5.65 |
5/15/2013 | 5.65 | % | 288,694 | ||||||||
XINGDA INT L HOLDINGS COMMON STOCK HKD.1 |
47,318 | |||||||||||
XL CAP FINANCE EUROP PLC COMPANY GUAR 01/12 6.5 |
1/15/2012 | 6.50 | % | 1,201,457 | ||||||||
XSTRATA CANADA FIN CORP 11/14 FIXED 2.85 |
11/10/2014 | 2.85 | % | 2,430,349 | ||||||||
XSTRATA PLC COMMON STOCK USD.5 |
1,205,441 | |||||||||||
XTO ENERGY INC SR UNSECURED 04/12 7.5 |
4/15/2012 | 7.50 | % | 285,606 | ||||||||
XTO ENERGY INC SR UNSECURED 06/15 5.3 |
6/30/2015 | 5.30 | % | 859,248 | ||||||||
XTO ENERGY INC SR UNSECURED 08/17 6.25 |
8/1/2017 | 6.25 | % | 613,699 | ||||||||
XTO ENERGY INC SR UNSECURED 12/18 6.5 |
12/15/2018 | 6.50 | % | 683,711 | ||||||||
YAHOO INC COMMON STOCK USD.001 |
3,752,725 | |||||||||||
YAMATAKE CORP COMMON STOCK |
154,476 | |||||||||||
YAMAZEN CORP COMMON STOCK |
356,257 | |||||||||||
ZIMMER HOLDINGS INC COMMON STOCK USD.01 |
1,292,764 | |||||||||||
ZIMMER HOLDINGS INC COMMON STOCK USD.01 |
1,059,906 | |||||||||||
ZUMTOBEL AG COMMON STOCK NPV |
166,916 | |||||||||||
ZURICH FINANCIAL SERVICES AG COMMON STOCK CHF.1 |
780,826 | |||||||||||
|
|
|||||||||||
TOTAL |
31,156,601,532 | |||||||||||
|
|
|||||||||||
*LOANS TO MEMBERS (Interest from 2% to 9.8% through December 31, 2031) |
648,275,867 | |||||||||||
|
|
* | Party-in-interest |
- 116 -