Delaware Corporate Bond Fund

Holdings as of 07/30/2010 (all share classes)

Portfolio holdings are as of the date noted above and are subject to change at any time. Holdings may not be representative of current or future investments and may not include the entire investment portfolio. Holdings information is made available to the public 30 calendar days after the most recent quarter-end.

Holdings data is for informational purposes only, and is not intended as a recommendation, offer, or solicitation for the purchase or sale of any specific security. By accessing the portfolio holdings, you agree not to reproduce, distribute or disseminate the portfolio holdings, in whole or part. In no event shall the Delaware Family of Funds or its affiliates have any liability relating to the use of the portfolio holdings.

Unlike the Fund's regulatory filings, the portfolio data and its presentation in this document is not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, it may differ from that provided in the complete portfolio of investments in the annual and semiannual report to shareholders filed with the SEC on Form N-CSR, and the complete portfolio of investments filed in the first and third quarter on Form N-Q.

SEC description # Holdings Portfolio % Market value Income rate Maturity date Nasdaq symbol
ABBOTT LABORATORIES 6,000,000.000.67$6,367,890.004.1205/27/2020ABT
AFFINION GROUP INC TERM LOAN B 1,345,875.000.14$1,300,169.095.0010/07/2016AFFINI
AGRIBANK FCB 3,017,000.000.38$3,608,558.289.1207/15/2019AGRIBK
ALCOA INC 2,800,000.000.30$2,842,809.206.1508/15/2020AA
ALLIANCE HEALTHCARE TERM LOAN 1,194,000.000.12$1,180,567.505.5006/01/2016AIQ
ALLIED WASTE NORTH AMERICA INC 6,399,000.000.73$6,919,136.327.1205/15/2016AW
ALLIED WASTE NORTH AMERICA INC 8,090,000.000.94$8,941,618.126.8806/01/2017AW
AMERICAN TOWER CORP 6,555,000.000.79$7,530,056.257.0010/15/2017AMT
AMERICAN TRANSMISSION SYSTEMS 4,835,000.000.54$5,098,033.675.2501/15/2022FE
AMGEN INC 1,102,000.000.12$1,110,265.000.3802/01/2013AMGN CB1
AMTT 2007-1A AFX 1,349,000.000.16$1,474,239.685.4204/15/2037AMTT
ANADARKO PETROLEUM CORP 2,400,000.000.24$2,318,224.805.9509/15/2016APC
ANHEUSER-BUSCH INBEV WORLDWIDE 6,810,000.000.77$7,326,872.195.0004/15/2020ABIBB
ARCELORMITTAL 4,340,000.000.59$5,616,350.609.8506/01/2019MTNA
ARVINMERITOR INC 805,000.000.08$723,493.754.0002/15/2027ARM CB
AT&T INC 4,925,000.000.59$5,627,797.506.5009/01/2037T
AUSTRALIAN DOLLAR 303,868.070.03$274,894.240.00N/AAUD
BACM 2004-3 A5 1,340,000.000.15$1,438,430.245.5906/10/2039BACM
BAE SYSTEMS HOLDINGS INC 10,000.000.00$10,829.685.2008/15/201505523UAD2
BALL CORP 532,000.000.06$574,560.007.1209/01/2016BLL
BALL CORP 798,000.000.09$865,830.007.3809/01/2019BLL
BANK OF AMERICA CORP 5,475,000.000.60$5,659,934.555.6207/01/2020BAC
BB&T CAPT TR IV 6,400,000.000.65$6,200,000.006.8206/12/2057073294AA8
BB&T CORP 1,086,000.000.12$1,130,646.555.2511/01/2019BBT
BEAR STEARNS COS LLC/THE 710,000.000.07$630,212.085.2712/07/2012JPM
BRAMBLES USA INC 1,625,000.000.18$1,664,908.383.9504/01/2015BXBAU
BRAMBLES USA INC 3,875,000.000.42$4,042,489.135.3504/01/2020BXBAU
BRINKER INTERNATIONAL INC 3,000,000.000.33$3,180,906.005.7506/01/2014EAT
BRITISH POUNDS 6,823.920.00$10,703.320.00N/APOUNDS
BURLINGTON COAT FACTORY INVEST 1,150,000.000.13$1,242,000.0014.5010/15/2014BCFACT
BURLINGTON COAT FACTORY WAREHO 2,005,000.000.22$2,110,262.5011.1204/15/2014121579AB2
BURLINGTON NORTHERN SANTA FE C 4,500,000.000.51$4,815,967.504.7010/01/2019BNI
CABLEVISION SYSTEMS CORP 600,000.000.07$647,250.008.6209/15/2017CVC
CANADIAN DOLLAR 184,980.090.02$179,950.470.00N/ACANDOLLAR
CAPITAL ONE CAPITAL V 375,000.000.04$408,281.2510.2508/15/2039COF
CAREFUSION CORP 50,000.000.00$54,430.505.1208/01/2014CFN
CAREFUSION CORP 7,180,000.000.87$8,307,425.146.3808/01/2019CFN
CASH -10,093,463.59-1.06-$10,093,463.590.0012/15/2038US-CASH
CCCIT 2007-A3 A3 2,837,000.000.37$3,540,362.666.1506/15/2039CCCIT
CDP FINANCIAL INC 3,510,000.000.38$3,664,685.704.4011/25/2019CADEPO
CDP FINANCIAL INC 3,670,000.000.42$3,993,374.715.6011/25/2039CADEPO
CENGAGE LEARNING TERM LOAN 1,313,299.540.14$1,322,335.047.5007/07/2014TLACQ
CENTRAIS ELETRICAS BRASILEIRAS 8,515,000.001.02$9,707,100.006.8807/30/2019ELEBRA
CF INDUSTRIES INC 875,000.000.10$936,250.007.1205/01/2020CFINDU
CHARTER COMMUNICATIONS OPERATI 1,349,000.000.16$1,517,625.0010.8809/15/2014CHTR
CHESAPEAKE ENERGY CORP 580,000.000.07$653,950.009.5002/15/2015CHK
CHESAPEAKE ENERGY CORP 1,439,000.000.16$1,528,937.507.2512/15/2018CHK
CHILE GOVERNMENT INTERNATIONAL 544,000,000.000.11$1,053,559.715.5008/05/2020CHILE
CHUBB CORP 4,396,000.000.46$4,330,060.006.3803/29/2067171232AP6
CITY NATIONAL CAPITAL TRUST I 4,250,000.000.47$4,513,444.759.6202/01/2040CYN
CLEAN HARBORS INC 1,490,000.000.16$1,545,875.007.6208/15/2016CLH
CMS ENERGY CORP 2,050,000.000.22$2,134,443.606.5507/17/2017CMS
CMS ENERGY CORP 2,680,000.000.32$3,073,721.488.7506/15/2019CMS
COBANK ACB 2,060,000.000.25$2,347,131.047.8804/16/2018COBKAC
COMCAST CORP 11,305,000.001.36$12,985,590.005.9003/15/201620030NAL5
COMET 2007-A7 A7 1,147,000.000.14$1,337,236.375.7507/15/2020COMET
COMMONWEALTH EDISON CO 945,000.000.11$1,088,314.925.8003/15/2018EXC
COMMONWEALTH EDISON CO 5,630,000.000.61$5,769,049.744.0008/01/2020EXC
COMMUNITY HEALTH SYSTEMS INC 1,115,000.000.12$1,170,750.008.8807/15/2015CYH
COVIDIEN INTERNATIONAL FINANCE 4,735,000.000.52$4,928,197.474.2006/15/2020COV
COX COMMUNICATIONS INC 1,045,000.000.13$1,220,366.686.9506/01/2038COXENT
COX COMMUNICATIONS INC 1,675,000.000.20$1,914,530.036.2506/01/2018COXENT
CRICKET COMMUNICATIONS INC 869,000.000.09$902,673.759.3811/01/2014LEAP
CROWN CASTLE INTERNATIONAL COR 719,000.000.08$790,900.009.0001/15/2015CCI
CROWN CASTLE TOWERS LLC 4,610,000.000.49$4,650,337.504.8808/15/2020CCI
CSC HOLDINGS LLC 460,000.000.05$497,375.008.5006/15/2015CVC
CSC HOLDINGS LLC 612,000.000.07$664,020.008.5004/15/2014CVC
CSFB 2001-SPGA A2 2,154,000.000.24$2,240,816.976.5208/13/2018CSFB
CVS PASS-THROUGH TRUST 4,762,988.490.60$5,763,192.268.3507/10/2031CVS
CYTEC INDUSTRIES INC 7,150,000.000.92$8,800,691.908.9507/01/2017CYT
DCENT 2007-A1 A1 1,960,000.000.24$2,283,399.025.6503/16/2020DCENT
DELTA AIR LINES INC TERM LOAN 2,047,037.470.22$2,077,743.038.7509/16/2013DAL
DEVELOPERS DIVERSIFIED REALTY 1,415,000.000.16$1,551,570.149.6203/15/2016DDR
DEVELOPERS DIVERSIFIED REALTY 2,500,000.000.26$2,478,467.507.5004/01/2017DDR
DIGICEL GROUP LTD 775,000.000.09$833,125.0010.5004/15/2018DLLTD
DIGITAL REALTY TRUST LP 1,680,000.000.18$1,724,005.925.8802/01/2020DLR
DIRECTV HOLDINGS LLC/DIRECTV F 18,400,000.002.15$20,448,104.007.6205/15/2016DTV
DISH DBS CORP 1,740,000.000.20$1,857,450.007.8809/01/2019DISH
DOW CHEMICAL CO/THE 8,010,000.001.05$10,019,684.978.5505/15/2019DOW
DUKE ENERGY CAROLINAS LLC 8,700,000.000.98$9,327,078.604.3006/15/2020DUK
DUKE ENERGY INDIANA INC 1,815,000.000.19$1,849,445.073.7507/15/2020DUK
DUNKN 2006-1 A2 425,000.000.04$415,160.405.7806/20/2031DUNKN
E*TRADE FINANCIAL CORP 2,040,000.000.24$2,305,200.0012.5011/30/2017ETFC
ENBRIDGE ENERGY 4,450,000.000.46$4,389,591.258.0510/01/203729250RAK2
ENERGY FUTURE HOLDINGS TERM B2 1,466,947.660.12$1,148,311.963.7310/10/2014LN363469
ENERGY TRANSFER PARTNERS LP 7,291,000.000.97$9,189,926.379.7003/15/2019ETP
ENTERPRISE PRODUCTS 6,000,000.000.60$5,738,112.007.0301/15/2068293791AW9
ENTERPRISE PRODUCTS OPERATING 475,000.000.05$509,858.835.2009/01/2020EPD
ENTERPRISE PRODUCTS OPERATING 4,464,000.000.57$5,462,761.979.7501/31/2014EPD
ERAC USA FINANCE LLC 1,785,000.000.19$1,833,114.685.2510/01/2020ENTERP
EURO 1,931.370.00$2,516.960.00N/AEURO
EXPORT-IMPORT BANK OF KOREA 885,000.000.10$982,450.015.8801/14/2015EIBKOR
EXPORT-IMPORT BANK OF KOREA 2,340,000.000.26$2,522,009.885.2502/10/2014EIBKOR
FHAMS 2006-FA2 B1 470,411.370.00$2,836.585.9805/25/2036FHAMS
FHLB-DN 8-2-10 6,281,032.650.66$6,281,022.180.0608/02/20100802PFDIS
FIDELITY NATIONAL INFORMATION 1,840,000.000.20$1,855,805.605.2507/18/2016FIS
FORD MOTOR CO 2,300,000.000.24$2,242,500.007.4507/16/2031F
FORD MOTOR COMPANY TERM B 1,531,114.270.16$1,493,663.223.2612/15/2013LN303249
FORD MOTOR CREDIT CO LLC 500,000.000.05$523,056.507.5008/01/2012F
FORD MOTOR CREDIT CO LLC 1,349,000.000.15$1,423,449.969.8808/10/2011F
FREEPORT-MCMORAN C & G 306,000.000.03$332,331.918.2504/01/2015FCX
FREEPORT-MCMORAN C & G 3,135,000.000.37$3,507,892.588.3804/01/201735671DAS4
FTI CONSULTING INC 328,000.000.04$341,530.007.7510/01/2016FCN
GAYLORD ENTERTAINMENT CO 840,000.000.11$1,048,950.003.7510/01/2014GET CB
GENERAL ELECTRIC CAPITAL CORP 15,184,000.001.77$16,836,717.666.0008/07/2019GE
GENWORTH FINANCIAL 3,025,000.000.23$2,208,250.006.1511/15/206637247DAG1
GENZYME CORP 1,000,000.000.11$1,052,374.003.6206/15/2015GENZ
GENZYME CORP 3,505,000.000.40$3,807,572.635.0006/15/2020GENZ
GEORGIA-PACIFIC LLC 450,000.000.05$490,500.008.2505/01/2016GP
GERDAU HOLDINGS INC 446,000.000.05$477,220.007.0001/20/2020GGBRBZ
GOLDMAN SACHS GROUP INC/THE 2,085,000.000.22$2,102,242.953.7008/01/2015GS
GOLDMAN SACHS GROUP INC/THE 6,057,000.000.66$6,246,347.885.3803/15/2020GS
GOODYEAR TIRE & RUBBER CO/THE 27,000.000.00$30,375.0010.5005/15/2016GT
GRAHAM PACKAGING 2,246,000.000.25$2,341,455.009.8810/15/201438470RAD3
GRAHAM PACKAGING CO LP TERM LO 777,816.930.08$788,029.676.7504/05/2014LN474009
GRAPHIC PACKAGING INTERNATIONA 463,000.000.05$473,417.509.5008/15/2013GPK
GXS WORLDWIDE INC 1,700,000.000.17$1,640,500.009.7506/15/2015GXSWLD
HARRAH'S OPERATING CO INC 1,335,000.000.12$1,129,743.7510.0012/15/2018HET
HARRAHS CHESTER DOWNS TERM LOA 943,750.000.10$952,007.8112.3812/31/2016HET
HBOS CAPITAL FUNDING LP 980,000.000.08$764,400.006.0706/29/204940411CAA0
HCA INC/DE 1,343,000.000.15$1,453,797.509.2511/15/2016HCA
HCA INC/DE - PRE 2010 IPO 340,000.000.04$368,050.009.6211/15/2016HCA
HEALTH CARE REIT INC 2,255,000.000.24$2,339,562.503.0012/01/2029HCN
HERCULES OFFSHORE INC 825,000.000.08$742,500.0010.5010/15/2017HERO
HEXION US FINANCE CORP / HEXIO 1,685,000.000.17$1,632,343.758.8802/01/2018HXN
HOLOGIC INC 805,000.000.08$713,431.252.0012/15/2037HOLX CB
HOSPIRA INC 5,550,000.000.67$6,351,009.306.4005/15/2015HSP
ILFC E-CAPITAL TRUST II 3,065,000.000.22$2,099,525.006.2512/21/2065AIG
ILLINOIS POWER CO 7,156,000.000.99$9,418,433.809.7511/15/2018AEE
INDIANA MICHIGAN POWER CO 2,300,000.000.29$2,755,423.007.0003/15/2019AEP
INDONESIA TREASURY BOND 2,860,000,000.000.04$346,799.319.5007/15/2023INDOGB
INDONESIA TREASURY BOND 16,033,000,000.000.22$2,062,971.8510.7505/15/2016INDOGB
INDONESIA TREASURY BOND 29,154,000,000.000.42$3,964,493.9711.0011/15/2020INDOGB
INTELSAT BERMUDA LTD 2,100,000.000.24$2,236,500.0011.2502/04/2017INTEL
INTELSAT JACKSON HLDG 513,000.000.06$556,605.0011.2506/15/2016INTEL
INTERNATIONAL BANK FOR RECONST 2,473,000.000.24$2,246,289.135.7510/21/2019IBRD
INTERNATIONAL GAME TECHNOLOGY 3,180,000.000.35$3,318,717.965.5006/15/2020IGT
INTERNATIONAL LEASE FINANCE CO 8,220,000.000.88$8,404,950.008.7503/15/2017AIG
INTERNATIONAL PAPER CO 11,510,000.001.58$14,989,680.189.3805/15/2019IP
INTL FIN CORP 2,473,000.000.24$2,275,726.205.7503/16/2015IFC
INVENTIV HEALTH INC 2,400,000.000.26$2,442,000.0010.0008/15/2018VTIV
INVISTA 217,000.000.02$219,983.759.2505/01/2012INVSTA
ITRAXX EUR SUB FINANCIALS 13.1 3,475,000.000.02$172,585.651.0006/20/2015SPC703E3
ITRAXX EUR SUB FINANCIALS 13.1 4,500,000.000.02$223,492.211.0006/20/2015SPB304DM
ITRAXX EUR SUB FINANCIALS 13.1 10,585,000.000.06$525,703.331.0006/20/2015/ITRAX
J.C. PENNEY COMPANY, INC 5-YEA 775,000.000.00$27,274.011.0003/20/2015/JCP
J.C. PENNEY COMPANY, INC 5-YEA 775,000.000.00$27,274.011.0003/20/2015/JCP1
J.C. PENNEY COMPANY, INC 5-YR 1,160,000.000.00$40,823.041.0003/20/2015/JCP
JAPANESE YEN 210,750.000.00$2,439.800.00N/AYENS
JEFFERIES GROUP 2,620,000.000.24$2,327,152.126.2501/15/2036472319AC6
JEFFERIES GROUP INC 6,627,000.000.66$6,290,858.686.4506/08/2027JEF
JERSEY CENTRAL POWER & LIGHT C 1,500,000.000.17$1,642,194.005.6205/01/2016FE
JOHNSONDIVERSEY INC TERM LOAN 1,243,750.000.13$1,248,936.435.5011/24/2015JONDIV
JP MORGAN CHASE 3,660,000.000.43$4,075,808.945.8806/13/201648121CJN7
JP MORGAN CHASE CAPITAL XXV 4,823,000.000.52$4,923,824.826.8010/01/2037JPM
JPMORGAN CHASE & CO 1,800,000.000.17$1,601,881.265.1006/21/2012JPM
JPMORGAN CHASE & CO 4,050,000.000.43$4,067,872.654.4007/22/2020JPM
JPMORGAN CHASE BANK NA 2,770,000.000.33$3,117,820.596.0010/01/2017JPM
KEYBANK NA 4,700,000.000.50$4,785,798.506.9502/01/202849306CAB7
KINDER MORGAN ENER PART 3,905,000.000.53$5,074,379.599.0002/01/2019KMP
KINDER MORGAN ENERGY PARTNERS 1,325,000.000.15$1,464,686.806.5509/15/2040KMP
KINGDOM OF SPAIN 5-YR CDS 03/2 1,720,000.000.01$62,631.151.0003/20/2015/SPGB
KOREA DEVELOPMENT BANK/REPUBLI 2,105,000.000.23$2,211,607.734.3808/10/2015KDB
KOREA DEVELOPMENT BANK/REPUBLI 4,315,000.000.53$5,051,574.828.0001/23/2014KDB
KOREA EXPRESSWAY CORP 2,360,000.000.26$2,464,519.684.5003/23/2015HIGHWY
KRAFT FOODS INC 2,135,000.000.25$2,339,765.725.3802/10/2020KFT
KREDITANSTALT FUER WIEDERAUFBA 2,390,000.000.14$1,379,617.2510.0005/15/2012KFW
L-3 COMMUNICATIONS CORP 4,700,000.000.50$4,811,465.204.7507/15/2020LLL
LAZARD GROUP 7,744,000.000.84$8,026,826.376.8506/15/2017LAZ
LAZARD GROUP LLC 751,000.000.08$802,809.997.1205/15/2015LAZ
LEAP WIRELESS INTERNATIONAL IN 1,050,000.000.10$910,875.004.5007/15/2014LEAP CB1
LIBERTY MUTUAL GROUP 2,775,000.000.24$2,308,994.257.0003/15/203753079EAQ7
LIFE TECHNOLOGIES CORP 2,990,000.000.33$3,138,250.184.4003/01/2015LIFE
LIFE TECHNOLOGIES CORP 6,807,000.000.79$7,518,603.786.0003/01/2020LIFE
LIFEPOINT HOSPITALS INC 1,035,000.000.10$991,012.503.2508/15/2025LPNT CB2
LIFEPOINT HOSPITALS INC 1,205,000.000.12$1,144,750.003.5005/15/2014LPNT CB1
LINEAR TECHNOLOGY CORP 2,085,000.000.22$2,121,487.503.0005/01/2027LLTC CB2
LIVE NATION ENTERTAINMENT INC 942,000.000.08$794,812.502.8807/15/2027LYV CB1
LONG TERM RECEIVABLES -2,215,911.21-0.24-$2,215,911.210.00N/ASECNCAHUS
LUBRIZOL 4,006,000.000.42$4,027,460.146.5010/01/2034549271AF1
MACYS RETAIL HLDGS INC 1,799,000.000.21$2,021,626.258.8807/15/2015M
MARINER ENERGY INC 4,000,000.000.46$4,420,000.008.0005/15/2017ME
MASCO CORP 251.000.00$2,580.280.30N/AMAS
MASD 2005-2 A2 298,870.400.03$286,894.665.0107/25/2035MASD
MDST 11 A1 153,596.080.02$148,830.154.8607/15/2038MDST
MECCANICA HOLDINGS USA 5,610,000.000.62$5,931,587.646.2507/15/2019FNCIM
MEDCO HEALTH SOLUTIONS INC 4,860,000.000.61$5,821,687.087.1203/15/2018MHS
MEDTRONIC INC 1,511,000.000.16$1,527,998.751.6204/15/2013MDT CB1
METLIFE CAPITAL TRUST X 5,980,000.000.71$6,787,300.009.2504/08/2038MET
METLIFE INC 180,000.000.02$167,850.006.4012/15/203659156RAP3
METLIFE INC 5-YR CDS 12/20/201 2,645,000.00-0.02-$176,783.011.0012/20/2014/MET
METLIFE INC 5YR CDS 09/20/14 2,335,000.000.02$211,377.365.0009/20/2014/MET
METROPOLITAN TRANSN AUTH N Y 4,500,000.000.49$4,663,890.006.6911/15/2040MTATRN
MEXICAN PESO 10,370.000.00$819.350.00N/APESOS
MGM MIRAGE 435,000.000.05$508,950.0013.0011/15/2013MGM
MGM RESORTS INTERNATIONAL 216,000.000.02$239,760.0010.3805/15/2014MGM
MGM RESORTS INTERNATIONAL 279,000.000.03$318,060.0011.1211/15/2017MGM
MIDCONTINENT EXPRESS PIPELINE 2,565,000.000.28$2,712,154.055.4509/15/2014MCEXPP
MIDCONTINENT EXPRESS PIPELINE 3,000,000.000.34$3,192,081.006.7009/15/2019MCEXPP
MLMI 1998-C3 G 1,200,000.000.07$634,952.406.0012/15/2030MLMI
MLMT 2002-MW1 J 295,000.000.01$140,653.205.7007/12/2034MLMT
MORGAN STANLEY 2,735,000.000.29$2,757,178.125.5007/24/2020MS
MSC 1999-FNV1 G 46,686.010.00$48,042.236.1203/15/2031MSC
MYLAN INC/PA 3,895,000.000.44$4,157,912.507.6207/15/2017MYL
MYRIAD INTERNATIONAL HOLDING B 610,000.000.07$629,825.006.3807/28/2017NPNSJ
NATIONAL CITY BANK/CLEVELAND O 2,030,000.000.19$1,821,957.480.9106/07/2017PNC
NATIONAL SEMICONDUCTOR CORP 2,065,000.000.22$2,128,773.403.9504/15/2015NSM
NATIONAL SEMICONDUCTOR CORP 3,840,000.000.46$4,338,708.486.6006/15/2017637640AE3
NBC UNIVERSAL INC 350,000.000.04$365,559.953.6504/30/2015NBCUNI
NBC UNIVERSAL INC 14,280,000.001.60$15,207,314.645.1504/30/2020NBCUNI
NEW WORLD RESOURCES BV 331,000.000.05$446,456.777.8805/01/2018NWORLD
NEWPAGE CORP 825,000.000.08$768,281.2511.3812/31/2014NEWPAG
NEXEN INC 6,355,000.000.83$7,913,017.227.5007/30/2039NXY
NIELSEN FINANCE LLC / NIELSEN 750,000.000.09$845,625.0011.5005/01/2016VNU
NOBLE ENERGY INC 10,216,000.001.34$12,763,124.638.2503/01/2019NBL
NOBLE GROUP LTD 871,000.000.09$868,421.846.6208/05/2020NOBLSP
NOBLE HOLDING INTERNATIONAL LT 2,640,000.000.30$2,851,865.286.2008/01/2040NE
NOBLE HOLDING INTERNATIONAL LT 4,455,000.000.49$4,665,815.064.9008/01/2020NE
NORCRAFT HOLDINGS LP/NORCRAFT 1,400,000.000.14$1,317,750.009.7509/01/2012NORCFT
NRG ENERGY 880,000.000.09$893,200.007.3801/15/2017629377AX0
NUVEEN INVESTMENTS INC 1,375,000.000.14$1,357,812.5010.5011/15/2015NUVINV
NUVEEN INVESTMENTS INC SECOND 735,000.000.08$814,012.5012.5007/09/2015NUVINV
ORACLE CORP 2,500,000.000.27$2,562,295.003.8807/15/2020ORCL
OSI RESTAURANT PARTNERS INC 1,850,000.000.19$1,808,375.0010.0006/15/2015OSI
PAETEC HOLDING CORP 746,000.000.08$774,907.508.8806/30/2017PAET
PENNSYLVANIA ELECTRIC CO 6,681,000.000.74$7,053,312.095.2004/01/2020FE
PETROBRAS INTERNATIONAL FINANC 7,520,000.000.84$8,032,660.965.7501/20/2020PETBRA
PETROHAWK ENERGY CORP 773,000.000.09$865,760.0010.5008/01/2014HAWK
PHILLIPS-VAN HEUSEN TERN LOAN 809,094.480.08$816,449.154.7503/15/2016PVH
PLAINS ALL AMERICAN PIPELINE L 6,345,000.000.83$7,917,963.578.7505/01/2019PAA
PLY GEM INDUSTRIES INC 1,100,000.000.12$1,174,250.0011.7506/15/2013PLYGEM
PNC BANK NA 5,051,000.000.61$5,773,151.576.8804/01/2018PNC
PNC FINANCIAL SERVICES 3,112,000.000.34$3,258,936.190.0805/29/2049PNC PFD
PNC FUNDING 115,000.000.01$124,508.095.2511/15/2015693476AT0
PNC FUNDING CORP 25,000.000.00$26,910.555.6202/01/2017PNC
PNC FUNDING CORP 2,275,000.000.25$2,414,716.855.1202/08/2020PNC
PORTUGUESE REPUBLIC 5-YR CDS 0 824,000.000.00$40,892.801.0006/22/2015/POT3
PORTUGUESE REPUBLIC 5-YR CDS 0 1,206,000.000.01$57,523.631.0003/20/2015/PORT
PORTUGUESE REPUBLIC 5-YR CDS 0 1,218,000.000.01$60,445.911.0006/22/2015/PORT4
POWER RECEIVABLE FINANCE LLC 56,541.910.00$56,580.076.2901/01/2012POWER
PRIDE INTERNATIONAL INC 10,720,000.001.26$12,033,200.008.5006/15/2019PDE
PROLOGIS 2,015,000.000.20$1,952,887.636.2503/15/2017PLD
PROLOGIS 5,070,000.000.52$4,985,320.867.3810/30/2019PLD
PRUDENTIAL FINANCIAL INC 3,320,000.000.36$3,421,472.483.8801/14/2015PRU
PUBLIC SERVICE CO OF OKLAHOMA 5,865,000.000.66$6,299,332.585.1512/01/2019AEP
PUGET SOUND ENERGY INC 850,000.000.08$794,257.006.9706/01/2067PSD
QUEBEC PROVINCE 1,395,000.000.15$1,421,734.284.5012/01/201974814ZEE9
QUIKSILVER INC 2,000,000.000.20$1,890,000.006.8804/15/2015ZQK
QWEST COMMUNICATIONS INTERNATI 2,000,000.000.22$2,080,000.007.1204/01/2018QUS
QWEST CORP 7,442,000.000.89$8,502,485.008.3805/01/2016QUS
RABOBANK NEDERLAND NV 7,420,000.000.99$9,397,630.3411.0012/29/2049RABOBK
REGENCY CENTERS LP 2,325,000.000.26$2,476,204.055.8806/15/2017REG
RELIANCE STEEL & ALUMINUM CO 3,697,000.000.37$3,551,042.446.8511/15/2036RS
REYNOLDS & REYNOLDS CO TERM LO 810,302.190.08$806,631.535.2504/03/2017REY
ROCKIES EXPRESS PIPELINE LLC 1,565,000.000.16$1,523,781.035.6204/15/2020ROCKIE
ROGERS COMMUNICATIONS INC 3,635,000.000.45$4,289,892.516.7503/15/2015RCICN
RR DONNELLEY 5YR CDS 06/20/214 2,800,000.00-0.03-$298,228.725.0006/20/2014SPK604UP
RSC EQUIPMENT RENTAL INC/RSC H 2,060,000.000.22$2,116,650.0010.2511/15/2019RRR
RYLAND GROUP INC 378,000.000.04$406,350.008.4005/15/2017RYL
SALLY HOLDINGS LLC 621,000.000.07$679,995.0010.5011/15/2016SBH
SECURITIZED NET CASH - ACR1 13,818,836.351.45$13,818,836.350.00N/ASECCASHAC
SECURITY LENDING COLLATERAL 242,932.040.00$10,324.610.00N/ASECLENDPL
SELECT MEDICAL CORP 850,000.000.09$818,125.007.6202/01/2015SELMED
SEMCO ENERGY INC 2,085,000.000.23$2,227,455.545.1504/21/2020SEN
SHAW COMMUNICATION 1,254,000.000.13$1,256,147.036.7511/09/2039SJRCN
SILICON VALLEY BANK 1,870,000.000.20$1,912,215.256.0506/01/2017SIVB
SILICON VALLEY BANK 2,320,000.000.25$2,419,400.405.7006/01/2012SIVB
SMURFIT-STONE CONTAINER ENT 1,240,000.000.13$1,251,519.606.7501/02/2016SSCC
SPRINT CAPITAL CORP 1,050,000.000.10$918,750.006.8811/15/2028S
STEEL DYNAMICS INC 832,000.000.09$869,440.007.7504/15/2016STLD
SUNOCO, INC 5-YR CDS 03/20/201 570,000.000.00$36,112.061.0003/20/2015/SUN
SUNOCO, INC 5-YR CDS 03/20/201 1,580,000.000.01$100,100.111.0003/20/2015/sun
SUPERVALU INC 1,380,000.000.15$1,400,700.007.5011/15/2014868536AS2
SVB FINANCIAL GROUP 1,320,000.000.14$1,364,550.003.8804/15/2011SIVB CB
TECK RESOURCES LTD 958,000.000.12$1,198,152.4010.7505/15/2019TCKCN
TECK RESOURCES LTD 1,779,000.000.23$2,155,014.7810.2505/15/2016TCKCN
TECK RESOURCES LTD 8,560,000.001.09$10,413,847.769.7505/15/2014TCKCN
TELECOM ITALIA CAPITAL 11,314,000.001.25$11,927,841.075.2510/01/201587927VAQ1
TELECOM ITALIA CAPITAL SA 1,545,000.000.18$1,680,416.166.1806/18/2014TITIM
TELEFONICA EMISIONES SAU 2,715,000.000.29$2,786,857.913.7304/27/2015TELEFO
TELEFONICA EMISIONES SAU 4,550,000.000.50$4,788,902.305.1304/27/2020TELEFO
TELESAT CANADA / TELESAT LLC 665,000.000.08$764,750.0011.0011/01/2015TELSAT
THERMO FISHER SCIENTIFIC INC 2,900,000.000.34$3,189,550.504.7005/01/2020TMO
TIME WARNER CABLE INC 7,946,000.001.05$9,996,115.688.2504/01/2019TWC
TOTAL CAPITAL SA 10,640,000.001.19$11,293,679.044.4506/24/2020TOTAL
TRANS-CANADA PIPELINES 7,652,000.000.73$6,972,609.536.3505/15/2067TRP
TRANSOCEAN INC 1,665,000.000.16$1,540,125.001.5012/15/2037RIG CB1
TRANSOCEAN INC 2,570,000.000.24$2,245,537.501.5012/15/2037893830AW9
TWIN REEFS PASS-THROUGH TRUST 3,100,000.000.00$0.000.4512/31/2049XLFATR
UAL CORP 40.000.00$949.600.00N/AUAUA
UNIVISION COMMUNICATIONS TERM 953,943.610.09$836,494.082.5309/29/2014LN321128
US ONCOLOGY HOLDINGS INC 825,000.000.08$785,812.506.6403/15/2012USON
US TREASURY N/B 4,580,000.000.54$5,093,821.044.6202/15/2040T
US TREASURY N/B 12,345,000.001.36$12,966,163.373.5005/15/2020WIT
USB CAPITAL IX 4,867,000.000.40$3,793,339.806.1904/15/2049USB
USB REALTY CORP 3,100,000.000.23$2,193,250.006.0912/22/2049USB
USG CORP 285,000.000.03$299,250.009.7508/01/2014USG
VALE OVERSEAS LTD 2,390,000.000.28$2,646,674.056.8811/10/2039VALEBZ
VALERO ENERGY CORPORATION 5-YR 570,000.00-0.00-$15,165.141.0003/20/2015/VLO
VALERO ENERGY CORPORATION 5-YR 1,580,000.00-0.00-$42,036.691.0003/20/2015/SUN
VERIZON COMMUNICATIONS INC 1,420,000.000.19$1,798,557.807.3504/01/2039VZ
VIDEOTRON LTEE 1,173,000.000.12$1,163,928.217.1201/15/2020QBRCN
VIDEOTRON LTEE 1,201,000.000.13$1,228,022.506.8801/15/2014QBRCN
VIVENDI 4,095,000.000.46$4,414,102.885.7504/04/2013VIVFP
VIVENDI 5,847,000.000.69$6,591,340.646.6204/04/2018VIVFP
VOTO-VOTORANTIM OVERSEAS TRADI 474,000.000.05$487,627.506.6209/25/2019VOTORA
WACHOVIA CORP 7,875,000.000.91$8,647,828.885.6210/15/2016929903CH3
WEATHERFORD INTERNATIONAL LTD 8,845,000.001.18$11,218,263.879.6203/01/2019WFT
WELLS FARGO CAPITAL XIII 7,306,000.000.79$7,525,180.007.7012/29/2049WFC
WIND ACQUISITION FINANCE SA 2,340,000.000.26$2,497,950.0011.7507/15/2017WINDIM
WISCONSIN ENERGY CORP 7,934,000.000.77$7,328,945.236.2505/15/2067WEC
WOODSIDE FINANCE LTD 1,315,000.000.16$1,521,391.888.1203/01/2014WPLAU
WOODSIDE FINANCE LTD 5,400,000.000.59$5,629,019.404.5011/10/2014WPLAU
WYNDHAM WORLDWIDE CORP 5,175,000.000.57$5,461,555.287.3803/01/2020WYN
XM SATELLITE RADIO HOLDINGS IN 1,935,000.000.23$2,201,062.5013.0008/01/2013XMSR
ZIONS BANCORPORATION 1,933,000.000.18$1,743,830.825.5011/16/2015ZION
ZIONS BANCORPORATION 1,940,000.000.21$2,014,519.287.7509/23/2014ZION



0.12 of the fund was hedged out of AUD/USD HSB 09/15/10
0.00 of the fund was hedged out of AUD/USD MRS 09/15/10
0.06 of the fund was hedged out of BRL/USD BAR 09/15/10
0.09 of the fund was hedged out of BRL/USD JPM 09/15/10
0.39 of the fund was hedged out of CAD/USD GOS 09/15/10
-0.90 of the fund was hedged out of EUR/USD HSB 09/15/10
0.73 of the fund was hedged out of EUR/USD MRS 09/15/10
0.00 of the fund was hedged out of MXN/USD 08/02/10 SPOT
0.05 of the fund was hedged out of MXN/USD MRS 09/15/10
0.00 of the fund was hedged out of MYR/USD MRS 09/15/10
-0.21 of the fund was hedged out of NOK/USD F 09/15/10
0.06 of the fund was hedged out of NOK/USD GOS 09/15/10
0.34 of the fund was hedged out of NOK/USD HSB 09/15/10
0.29 of the fund was hedged out of NZD/USD JPM 09/15/10
-7.88 of the fund was hedged out of US 10YR NOTE FUT SEPT 2010
9.20 of the fund was hedged out of US LONG BOND (CBT) SEP10