UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
x | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the fiscal year ended May 31, 2014
OR
¨ | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the transition period from to
Commission File No. 001-10635
NIKE, Inc.
(Full title of the plan)
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
(Name of issuer of the securities held pursuant to the plan)
One Bowerman Drive
Beaverton, Oregon 97005
(Address of the plan and address of issuers principal executive offices)
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Financial Statements and Supplemental Schedules
May 31, 2014 and 2013
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Note: | Other schedules required by 29 CFR 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. |
Report of Independent Registered Public Accounting Firm
To the Participants and Administrator of
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.:
In our opinion, the accompanying statements of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the 401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc. (the Plan) at May 31, 2014 and May 31, 2013, and the changes in net assets available for benefits for the year ended May 31, 2014, in conformity with accounting principles generally accepted in the United States of America. 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 of these statements in accordance with the 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. An audit 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, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental Schedule of Assets (Held At End of Year) as of May 31, 2014, and Schedule of Assets (Acquired and Disposed of Within Year) for the year ended May 31, 2014 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 supplemental schedules are the responsibility of the Plans management. The supplemental schedules have been subjected to the auditing procedures applied in the audit of the basic financial statements and, in our opinion, are fairly stated in all material respects in relation to the basic financial statements taken as a whole.
/s/ PricewaterhouseCoopers LLP
Portland, Oregon
November 21, 2014
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Statements of Net Assets Available for Benefits
May 31, 2014 and 2013
2014 | 2013 | |||||||
Assets |
||||||||
Investments, at fair value |
||||||||
Collective trust funds |
$ | 1,975,060,167 | $ | 1,628,931,881 | ||||
NIKE, Inc. Class B common stock |
646,689,659 | 549,825,241 | ||||||
Registered investment companies |
106,374,959 | 89,810,730 | ||||||
Corporate and foreign bonds |
35,723,314 | 39,917,598 | ||||||
Interest bearing cash |
1,705,571 | 3,425,720 | ||||||
Preferred stocks |
569,520 | | ||||||
Common and foreign stocks |
2,382 | 20,973 | ||||||
|
|
|
|
|||||
Total investments |
2,766,125,572 | 2,311,932,143 | ||||||
|
|
|
|
|||||
Receivables |
||||||||
Employer contributions |
50,576,135 | 46,735,971 | ||||||
Notes receivable from participants |
29,612,682 | 27,201,901 | ||||||
Participant contributions |
3,428,578 | | ||||||
Accrued interest and dividends |
2,662,164 | 2,595,278 | ||||||
Due from broker for securities sold |
1,138,118 | 2,790,079 | ||||||
|
|
|
|
|||||
Total receivables |
87,417,677 | 79,323,229 | ||||||
|
|
|
|
|||||
Cash |
366,761 | 5,184,500 | ||||||
|
|
|
|
|||||
Total assets |
2,853,910,010 | 2,396,439,872 | ||||||
|
|
|
|
|||||
Liabilities |
||||||||
Due to broker for securities purchased |
1,097,583 | 3,018,375 | ||||||
Accrued expenses |
153,393 | 145,049 | ||||||
|
|
|
|
|||||
Total liabilities |
1,250,976 | 3,163,424 | ||||||
|
|
|
|
|||||
Net assets available for benefits at fair value |
2,852,659,034 | 2,393,276,448 | ||||||
Adjustment from fair value to contract value for interest in collective trust relating to fully benefit-responsive investment contracts |
(1,415,088 | ) | (1,540,512 | ) | ||||
|
|
|
|
|||||
Net assets available for benefits |
$ | 2,851,243,946 | $ | 2,391,735,936 | ||||
|
|
|
|
The accompanying notes are an integral part of these financial statements.
2
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Statement of Changes in Net Assets Available for Benefits
Year Ended May 31, 2014
Additions |
||||
Investment income |
||||
Net appreciation in fair value of investments |
$ | 377,498,003 | ||
Interest and dividends |
11,329,050 | |||
|
|
|||
Total investment income |
388,827,053 | |||
Less: Investment expenses |
(472,146 | ) | ||
|
|
|||
Net investment income |
388,354,907 | |||
|
|
|||
Interest income on notes receivable from participants |
1,155,431 | |||
|
|
|||
Contributions |
||||
Employer, net of forfeitures |
101,555,361 | |||
Participant |
87,603,557 | |||
Rollover |
9,683,559 | |||
|
|
|||
Total contributions |
198,842,477 | |||
|
|
|||
Total additions |
588,352,815 | |||
|
|
|||
Deductions |
||||
Benefits paid to participants |
(127,222,742 | ) | ||
Administrative expenses |
(1,622,063 | ) | ||
|
|
|||
Total deductions |
(128,844,805 | ) | ||
|
|
|||
Net increase |
459,508,010 | |||
Net assets available for benefits |
||||
Beginning of year |
2,391,735,936 | |||
|
|
|||
End of year |
$ | 2,851,243,946 | ||
|
|
The accompanying notes are an integral part of these financial statements.
3
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
1. | Description of the Plan |
The following description of the 401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc. (the Plan) provides only general information. Participants should refer to the Plan document for a more complete description of the Plans provisions.
General
The Plan was established to provide for the retirement income requirements of and sharing in Company profits by eligible employees of NIKE, Inc. (the Company) and a retirement savings program for the employees of the Company not covered by a collective bargaining agreement. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA), as amended. Administration of the Plan is performed by the Administrative Subcommittee of the Retirement Committee. The Plan is amended from time to time in order to comply with changes in applicable laws and to make changes in Plan administration.
The Northern Trust Company (Northern Trust or the Trustee) is the Trustee and Aon Hewitt Associates (Aon Hewitt or the Recordkeeper) is the Recordkeeper of the Plans assets. Self-directed brokerage account assets are held in the custody of Charles Schwab & Co. Inc. (Charles Schwab or the Custodian) and are maintained by the Trustee. The Plans investment decisions are overseen by the Investment Subcommittee of the Retirement Committee. Members of the Retirement Committee are appointed by the Board of Directors of the Company.
On January 1, 2012, the Company merged the Converse Inc. 401(k) Savings Plan and Hurley International LLC Tax Advantaged Plan (collectively, the Affiliate Plans) with and into the Plan (the Plan Merger). As a result of the Plan Merger, all assets and liabilities of the Affiliate Plans became assets and liabilities of the Plan, and the Affiliate Plans ceased to exist as of the close of business on January 1, 2012.
Eligibility
All employees, except those employees who are (1) covered by a collective bargaining agreement, (2) living outside the United States and not covered by the Company expatriate program, (3) working at the Companys Memphis Apparel Distribution Center, whose employment is established pursuant to the Companys Seasonal On Call Casual Employee Reserve (SOCCER) program, (4) not common-law employees, such as leased employees and individuals designated by NIKE as independent contractors, or (5) residing in Puerto Rico and working at the Puerto Rico facility, become eligible to receive profit sharing contributions on the first day of the Plan fiscal year coinciding with or immediately preceding completion of one year of employment with at least 1,000 hours of service. Employees are eligible to participate in the 401(k) portion of the Plan on the first day of employment.
Contributions
Participants may contribute up to 50% of their pre-tax annual compensation to the Plan, subject to annual individual deferral limitations under the Internal Revenue Code (IRC). Participants who have attained age 50 before the end of the Plan year are eligible to make catch-up contributions, as defined by the IRC. Participants may also contribute amounts representing distributions from other qualified defined benefit or defined contribution plans. Additionally, the Company will match participant contributions at a rate of 100% of the first 5% of the participants total base pay that is contributed to the account.
4
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Prior to May 13, 2011, the Company match contributions related to the Plans 401(k) feature were invested in NIKE. Inc. Class B common stock and as of June 1, 2001, these match contributions became subject to participant self-direction after the initial investment in Company stock was made to the Plan. Participants could redeem their shares in Company stock and reinvest the cash into other managed funds. As of May 13, 2011, the Company match followed participants fund selections and NIKE, Inc. Class B common stock became one of the investment choices. No more than 10% of a participants deferral and corresponding match can go into the NIKE stock fund and a participant can only transfer a portion of his or her existing account balance to purchase NIKE stock if the percentage of their account balance invested in NIKE stock is less than or equal to 20%. Transfers out of the NIKE stock fund are permitted at any time.
Under the Plans profit sharing features, the Company may make discretionary annual contributions as designated by the Companys Board of Directors. However, this amount cannot be greater than the amount allowable as a tax deduction under the IRC. The annual contributions will be funded no later than the date the Companys federal income tax return is filed.
Profit sharing contributions are invested in various fixed income and equity funds similar to those offered under the Plans 401(k) features. Investments held by the Plan on behalf of participants related to profit sharing contributions are nonparticipant-directed. In a nonparticipant-directed program, the Investment Committee, under the guidance of investment managers, directs the specific investments held by the Plan. See Note 7 for applicable disclosures. Investments held by the Plan on behalf of participants related to 401(k) contributions are participant-directed. In a participant-directed program, the individual participant selects the investments for his or her individual account.
Participant Accounts
Separate individual 401(k) and profit sharing accounts are maintained for each participant. Each participants 401(k) account is credited with the participants contributions and rollovers, the Companys matching contributions, Plan expenses and an allocation of the Plans investment income or losses based upon the participants election of investment options. Participants direct the investment of their contributions into various investment options offered by the Plan.
An eligible profit sharing participant is entitled to an annual allocation of the employer profit sharing contribution and former participant profit sharing forfeitures after restoration of previously forfeited accounts. Employer profit sharing contributions and former participant forfeitures are allocated in the proportion of the participants annual compensation to compensation of all participants subject to the IRC Section 415 defined maximum limitations. Participants do not direct the investment of profit sharing contributions.
Profit sharing investment income or loss and Plan expenses are allocated daily based on a ratio of each participants profit sharing account balance to the total profit sharing account balances.
The total benefit to which a participant is entitled is the benefit that can be provided from the participants vested 401(k) and profit sharing accounts.
Vesting
Participants in the 401(k) portion of the Plan are immediately vested in their elective, rollover, and Company matching contributions, plus actual earnings thereon. The Company contributions into the profit sharing portion of the Plan vest at 25% per year after completing two years of service, and vesting increases 25% for each additional year of service until fully vested after five years. Participants in the profit sharing portion of the Plan become fully vested in the Companys contributions in the event of total and permanent disability, death, attainment of 65 years of age, or termination of the Plan.
5
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Forfeitures
Upon a participants termination, the unvested portion of the participants profit sharing account is forfeited. Profit sharing forfeitures may be used to reduce future employer contributions or be allocated back to active participants. During the year ended May 31, 2014, profit sharing forfeitures of $1,662,421 were used to reduce employer contributions. At May 31, 2014 and 2013, accumulated profit sharing forfeitures totaled $1,590,615 and $1,351,379, respectively.
Notes Receivable From Participants
Participants may borrow a portion of their elective and rollover contributions by applying to the Administrative Subcommittee. Participants may borrow from their accounts amounts equal to the lesser of 50% of their vested account balance or $50,000 reduced by the balance of any outstanding loans. The term of the loan repayments ranges up to five years for general purpose loans and up to ten years for the purchase of a primary residence. The loans are secured by the balance in the participants account and bear interest at the prime rate plus one percentage point. Principal and interest are paid ratably through monthly deductions.
Benefit Payments
On termination of service due to death, disability, hardship, resignation, discharge and retirement, a participant is eligible to receive payments in the amount equal to the value of the participants vested interest in his or her account.
Vested benefits are distributed to participants in a lump-sum payment upon termination or are transferred to another qualified trust. Participants with vested benefits greater than $1,000 can elect to receive a distribution or leave their balance in the Plan. Terminated participants with balances greater than $1,000 may leave their vested benefits in the Plan until reaching the age of 65. Participants may apply to the Administrative Subcommittee to withdraw their voluntary 401(k) contributions in the event the participant is over age 59-1/2, or the participant has a financial hardship as stipulated in the Plan provisions. No withdrawals may be made from the unvested portion of the Companys matching contributions, profit sharing contributions, or earnings thereon.
Plan Termination
Although it has not expressed any intent 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 of ERISA. In the event of Plan termination, the accounts of all participants would become fully vested. The net assets of the Plan would be distributed among the participants and beneficiaries of the Plan in proportion to their interests after proper allocation of any Plan expenses incurred upon termination.
2. | Significant Accounting Policies |
Basis of Accounting
The accompanying financial statements have been prepared on the accrual basis of accounting.
Investment Valuation and Income Recognition
The Companys Retirement Committee determines the Plans valuation policies utilizing information provided by the Trustee and collective trust funds.
Managed funds consist of investments in preferred, common and foreign stock, corporate and foreign bonds, collective trust funds, registered investment companies, U.S. government securities, and interest bearing cash. See Note 4 for discussion of fair value measurements.
6
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Investments are purchased and sold at the fair value of the underlying investments and receive the interest and dividend earnings of the underlying investments. Purchases and sales of securities are recorded on a trade date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. The Plan presents, in the Statement of Changes in Net Assets Available for Benefits, the net appreciation or depreciation in the fair value of its investments, which consists of the realized gains or losses and the unrealized appreciation or depreciation on those investments.
Notes Receivable From Participants
Notes receivable from participants are measured at their unpaid principal balance plus any accrued but unpaid interest. Interest income is recorded on the accrual basis. Related fees are recorded as administrative expenses and are expensed when they are incurred. No allowance for credit losses has been recorded as of May 31, 2014 or 2013. If a participant ceases to make loan repayments and the plan administrator deems the participant loan to be in default, the participant loan balance is reduced and a benefit payment is recorded.
Benefits Payable
Benefits are recorded when paid. Accordingly, benefits payable to persons that have elected to withdraw from the Plan but not yet paid have not been accrued. At May 31, 2014 and 2013, there were $908,293 and $455,396, respectively, payable to participants.
Expenses
Expenses of administering the Plan and those which are directly related to investment transactions are paid out of the assets of the Plan.
Use of Estimates
The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of additions to and deductions from net assets available for benefits during the reporting period. Actual results could differ from those estimates.
Risks and Uncertainties
The Plans Management invests in various investment securities that are exposed to various risks, such as interest rate, market and credit risks. Due to the level of risk associated with certain investment securities, it is at least reasonably possible that changes in the values of investment securities, and thus the net asset value (NAV) of the funds, will occur in the near term and that such changes could materially affect participants account balances and the amount reported in the Statements of Net Assets Available for Benefits and the Statement of Changes in Net Assets Available for Benefits. Market values of investments may decline for a number of reasons, including changes in prevailing market and interest rates, increases in defaults and credit rating downgrades. The fair values assigned to the investments by the Plan are based upon available information believed to be reliable, which may be affected by conditions in the financial markets. The Plan may not be able to sell its investments when it desires to do so or to realize what it perceives to be its fair value in the event of a sale.
Subsequent Events
The Plan has evaluated subsequent events through November 21, 2014 and determined that no significant subsequent events have occurred requiring adjustments to the financial statements or disclosures.
7
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
3. | Investments |
The following presents investments that represent 5% or more of the Plans net assets at May 31, 2014:
Participant-directed |
||||
NIKE, Inc. Class B Common Stock |
$ | 646,689,659 | ||
Collective trust funds |
||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund |
536,436,807 | |||
Northern Trust Global Investments Collective Daily Russell * 2000 Equity Index Fund |
260,503,936 | |||
NT Collective ACWI ex-US Fund (Lending) |
259,587,395 | |||
Northern Trust Global Investments Collective Daily Aggregate * Bond Index Fund |
200,024,349 | |||
Morley Stable Value Fund |
164,147,602 | |||
Nonparticipant-directed |
||||
Collective trust funds |
||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund |
163,352,118 |
* | The Plan has additional non participant-directed investments in this fund which do not exceed 5% or more of the Plans net assets. |
The following presents investments that represent 5% or more of the Plans net assets at May 31, 2013:
Participant-directed |
||||
NIKE, Inc. Class B Common Stock |
$ | 549,825,241 | ||
Collective trust funds |
||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund |
419,124,371 | |||
Northern Trust Global Investments Collective Daily Aggregate * Bond Index Fund |
174,974,234 | |||
Northern Trust Global Investments Collective Daily Russell * 2000 Equity Index Fund |
212,483,150 | |||
Northern Trust Bank NA Collective Daily All Country World Exchange Fund |
208,237,646 | |||
Morley Stable Value Fund |
146,716,861 | |||
Nonparticipant-directed |
||||
Collective trust funds |
||||
Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund |
141,364,130 |
* | The Plan has additional non participant-directed investments in this fund which do not exceed 5% or more of the Plans net assets. |
8
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
During the year ended May 31, 2014, all of the Plans investments (including gains and losses on investments bought and sold, as well as held during the year) appreciated in value as follows:
NIKE, Inc. Class B common stock |
$ | 133,366,561 | ||
Collective trust funds |
226,525,705 | |||
Registered investment companies |
16,917,187 | |||
Corporate bonds |
689,886 | |||
Preferred and common stocks |
(1,336 | ) | ||
|
|
|||
$ | 377,498,003 | |||
|
|
4. | Fair Value Measurement |
In determining fair value, the Plan uses 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 measurement) and the lowest priority to unobservable inputs (Level 3 measurement). The three levels of the fair value hierarchy are described below:
Level l | Inputs to the valuation methodology are unadjusted quoted prices for identical assets or liabilities in active markets that the Plan has the ability to access. |
Level 2 | Inputs to the valuation methodology include: |
| Quoted price for similar assets or liabilities in active markets; |
| Quoted price for identical or similar assets or liabilities in inactive markets; |
| Inputs, other than quoted prices, that are observable for the asset or liability; |
| Inputs that are derived principally from, or corroborated by, observable market data by correlation or other means. |
If the asset or liability has a specified (contractual) term, the Level 2 input must be observable for substantially the full term of the asset or liability.
Level 3 | Inputs to the valuation methodology are unobservable and significant to the fair value measurement. |
The assets or liabilitys fair value measurement level within the fair value hierarchy is based on the lowest level of any input that is significant to the fair value measurement. Valuation techniques used need to maximize the use of observable inputs and minimize the use of unobservable inputs.
The valuation methods described below may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in different fair value measurement at the reporting date.
Following is a description of the valuation methodologies used for assets measured at fair value. There have been no changes in the methodologies used at May 31, 2014 and 2013.
Common, Preferred and Foreign Stocks: Investments in preferred, common and foreign stocks listed on a national securities exchange and over-the-counter securities are valued at the last reported sale price on the valuation date or, if no sales are reported for that day, the last published sale price.
9
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Fixed Income Securities: Corporate bonds and US Treasuries are valued based on market values quoted by dealers who are market makers in these securities, by independent pricing services, or by a methodology approved by Northern Trust. Valuation techniques incorporate available market information and proprietary valuation models, which consider characteristics such as benchmark yield curve, coupon rates, credit spreads, estimated default rates and other features.
Registered Investment Companies: Registered investment companies (or mutual funds) are valued at the daily closing price as reported by the fund. Mutual funds held by the Plan are open-end mutual funds that are registered with the Securities and Exchange Commission. These funds are required to publish their daily NAV and to transact at that price. The mutual funds held by the Plan are deemed to be actively traded.
Collective trust funds: Collective trust funds represent investments held in pooled funds. The Plans interests in the collective trust funds are valued based on the NAV provided by Northern Trust. The accuracy of the NAV is verified using the audited financial statements of the collective trust funds. The NAV, as provided by the trustee, is used as a practical expedient to estimate fair value. The NAV is based on the fair value of the underlying investments held by the fund less its liabilities. This practical expedient is not used when it is determined to be probable that the fund will sell the investment for an amount different than the reported NAV. Participant transactions (purchases and sales) may occur daily. Were the Plan to initiate a full redemption of the collective trust, the investment advisor reserves the right to temporarily delay withdrawal from the trust in order to ensure that securities liquidations will be carried out in an orderly business manner.
Stable Value Fund: The Plan invests in the Union Bond & Trust Company Morley Stable Value Fund (Morley Stable Value Fund), a collective trust fund, which holds fully benefit-responsive investment contracts. This fund can be redeemed daily by participants subject to limitations on noncompeting options. The Morley Stable Value Funds trustee reserves the right to delay plan sponsor-initiated redemptions for up to 365 days. There are no other restrictions on collective trust transactions. Investment contracts held by a defined contribution plan are required to be reported at fair value. Because the participants transact at contract value, fair value is determined annually for financial reporting purposes only. The Investment Sub-Committee reviews the reasonableness of managements use of the annual Morley Stable Value Fund audited financial statement fair value, adjusted to the Plans year-end, to determine the fair value of this fund. However, contract value is the relevant measurement attribute for that portion of the net assets available for benefits of a defined contribution plan attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan. The Plan invests in benefit-responsive investment contracts through a collective trust fund. The Statements of Net Assets Available for Benefits present the fair value of the investment in the collective trust fund as well as the adjustment of the investment in the collective trust fund from fair value to contract value relating to the investment contracts. The Statement of Changes in Net Assets Available for Benefits is prepared on a contract value basis.
10
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
The following tables set forth by level, within the fair value hierarchy, the Plans assets at fair value as of May 31, 2014 and 2013:
Assets at Fair Value at Mar 31, 2014 | ||||||||||||||||
Level l | Level 2 | Level 3 | Total | |||||||||||||
Collective trust funds |
||||||||||||||||
Equity index funds |
$ | | $ | 1,425,640,560 | $ | | $ | 1,425,640,560 | ||||||||
Other fixed income funds |
341,181,833 | 341,181,833 | ||||||||||||||
Real estate funds |
40,145,084 | 40,145,084 | ||||||||||||||
Stable value funds |
164,147,602 | 164,147,602 | ||||||||||||||
Other short term investment funds |
3,945,088 | 3,945,088 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total collective trust funds |
| 1,810,912,565 | 164,147,602 | 1,975,060,167 | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Common and foreign stocks |
||||||||||||||||
Consumer discretionary |
646,689,659 | 646,689,659 | ||||||||||||||
Information technology |
2,382 | 2,382 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total common and foreign stocks |
646,692,041 | | | 646,692,041 | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Preferred stocks |
||||||||||||||||
Consumer goods |
569,520 | 569,520 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total preferred stocks |
569,520 | | | 569,520 | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Registered investment companies |
||||||||||||||||
Commodity funds |
49,396,932 | 49,396,932 | ||||||||||||||
Equity funds |
42,141,078 | 42,141,078 | ||||||||||||||
Bond funds |
10,203,914 | 10,203,914 | ||||||||||||||
Short term funds |
4,020,058 | 4,020,058 | ||||||||||||||
Real estate funds |
612,977 | 612,977 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total registered investment companies |
106,374,959 | | | 106,374,959 | ||||||||||||
Corporate and foreign bonds |
35,723,314 | 35,723,314 | ||||||||||||||
Interest bearing cash |
1,705,571 | 1,705,571 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total assets at fair value |
$ | 755,342,091 | $ | 1,846,635,879 | $ | 164,147,602 | $ | 2,766,125,572 | ||||||||
|
|
|
|
|
|
|
|
11
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Assets at Fair Value at Mar 31, 2013 | ||||||||||||||||
Level l | Level 2 | Level 3 | Total | |||||||||||||
Collective trust funds |
||||||||||||||||
Equity index funds |
$ | | $ | 1,157,755,404 | $ | | $ | 1,157,755,404 | ||||||||
Other fixed income funds |
282,039,321 | 282,039,321 | ||||||||||||||
Real estate funds |
33,259,670 | 33,259,670 | ||||||||||||||
Stable value funds |
148,446,672 | 148,446,672 | ||||||||||||||
Other short term investment funds |
7,430,814 | 7,430,814 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total collective trust funds |
| 1,480,485,209 | 148,446,672 | 1,628,931,881 | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Common and foreign stocks |
||||||||||||||||
Consumer discretionary |
549,825,241 | 549,825,241 | ||||||||||||||
Energy |
18,900 | 18,900 | ||||||||||||||
Information technology |
2,073 | 2,073 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total common and foreign stocks |
549,846,214 | | | 549,846,214 | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Registered investment companies |
||||||||||||||||
Commodity funds |
41,299,375 | 41,299,375 | ||||||||||||||
Equity funds |
33,208,119 | 33,208,119 | ||||||||||||||
Bond funds |
10,083,733 | 10,083,733 | ||||||||||||||
Short term funds |
4,468,336 | 4,468,336 | ||||||||||||||
Real estate funds |
751,167 | 751,167 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total registered investment companies |
89,810,730 | | | 89,810,730 | ||||||||||||
Corporate and foreign bonds |
39,917,598 | 39,917,598 | ||||||||||||||
Interest bearing cash |
3,425,720 | 3,425,720 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total assets at fair value |
$ | 643,082,664 | $ | 1,520,402,807 | $ | 148,446,672 | $ | 2,311,932,143 | ||||||||
|
|
|
|
|
|
|
|
Level 3 Gains and Losses
The following table sets forth a summary of changes in the fair value of the Plans Level 3 assets for the year ended May 31, 2014:
Morley Stable Value Fund |
||||
Balance at beginning of year |
$ | 148,446,672 | ||
Purchases |
71,667,586 | |||
Sales |
(57,608,848 | ) | ||
Realized gains, net |
714,725 | |||
Unrealized gains, net |
927,465 | |||
Other |
2 | |||
|
|
|||
Balance at end of year |
$ | 164,147,602 | ||
|
|
Unrealized gains/(losses) from the guaranteed investment contract are not included in the Statement of Changes in Net Assets Available for Benefits as the contract is recorded at contract value for purposes of the net assets available for benefits.
12
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Fair Value of Investments in Entities that Use NAV
The following table summarizes those investments measured at fair value using NAV as a practical expedient as of May 31, 2014 and 2013, respectively.
May 31, 2014
Fund | Fair Value | Unfunded Commitments |
Redemption Frequency |
Redemption Notice Period | ||||||
NT Collective Government Short Term Investment Fund |
$ | 3,987,743 | N/A | Daily | Same Day | |||||
NT Collective ACWI ex-US Fund (Non-Lending) |
78,812,676 | N/A | Daily | 1 Day | ||||||
NT Collective Daily Aggregate Bond Index Fund |
292,327,018 | N/A | Daily | Same Day | ||||||
NT Collective Daily Russell 2000 Equity Index Fund |
299,223,989 | N/A | Daily | Same Day | ||||||
NT Collective S&P 400 Index Fund |
41,264,879 | N/A | Daily | Same Day | ||||||
NT Collective Daily S&P 500 Equity Index Fund |
699,788,925 | N/A | Daily | Same Day | ||||||
NT Collective World Government Bond Index Fund |
48,812,161 | N/A | Daily | 1 Day | ||||||
NT Collective ACWI ex-US Fund (Lending) |
259,587,395 | N/A | Daily | 1 Day | ||||||
NT Collective Developed International Small Cap Index Fund |
46,962,695 | N/A | Daily | 1 Day | ||||||
NT Collective Global Real Estate Index Fund |
40,145,084 | N/A | Daily | 1 Day | ||||||
Morley Stable Value Fund |
164,147,602 | N/A | Daily | Same Day |
May 31, 2013
Fund | Fair Value | Unfunded Commitments |
Redemption Frequency |
Redemption Notice Period | ||||||
NT Collective Government Short Term Investment Fund |
$ | 7,430,814 | N/A | Daily | Same Day | |||||
NT Collective ACWI ex-US Fund (Non-Lending) |
66,992,791 | N/A | Daily | 1 Day | ||||||
NT Collective Daily Aggregate Bond Index Fund |
244,519,485 | N/A | Daily | Same Day | ||||||
NT Collective Daily Russell 2000 Equity Index Fund |
247,174,935 | N/A | Daily | Same Day | ||||||
NT Collective S&P 400 Index Fund |
34,892,149 | N/A | Daily | Same Day | ||||||
NT Collective Daily S&P 500 Equity Index Fund |
560,488,501 | N/A | Daily | Same Day | ||||||
NT Collective World Government Bond Index Fund |
37,519,836 | N/A | Daily | 1 Day | ||||||
NT Collective ACWI ex-US Fund (Lending) |
208,237,646 | N/A | Daily | 1 Day | ||||||
NT Collective Developed International Small Cap Index Fund |
39,969,380 | N/A | Daily | 1 Day | ||||||
NT Collective Global Real Estate Index Fund |
33,259,670 | N/A | Daily | 1 Day | ||||||
Morley Stable Value Fund |
148,446,672 | N/A | Daily | Same Day |
5. | Party-in-Interest Transactions |
The Plans investments represent funds invested in, or maintained by, Northern Trust and Charles Schwab. Northern Trust is the Trustee of the Plan assets and Charles Schwab is the Custodian of selected assets and, therefore, these investments represent exempt party-in-interest transactions.
13
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Certain Plan investments are shares of Company common stock. For the year ended May 31, 2014 and 2013, the Plan purchased 135,834 and 141,834 shares of NIKE, Inc. Class B common stock, respectively, at a cost of $9,499,193 and $9,457,249, respectively. For the same years ended, the Plan sold 511,649 and 505,096 shares of NIKE, Inc. Class B common stock, respectively, at a cost of $31,611,267 and $37,495,438, respectively. At May 31, 2014 and 2013, the Plan held $646,689,659 (8,408,395 shares) and $549,825,241 (8,917,049 shares), respectively, of NIKE, Inc. Class B common stock.
6. | Plan Tax Status |
The Internal Revenue Service (IRS) has determined and informed the Company by letter dated December 16, 2013 that the Plan is designed in accordance with applicable sections of the IRC. Although the Plan has been amended since receiving the determination letter, the Plan administrator and the Plans tax counsel believe that the Plan is designed and is currently being operated in compliance with the applicable requirements of the IRC.
Accounting principles generally accepted in the United States of America require Plan management to evaluate tax positions taken by the Plan and recognize a tax liability 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 May 31, 2014 and 2013, there are no uncertain tax positions taken or expected to be taken that would require recognition of a liability or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions within the United States of America; however, there are currently no audits for any tax periods in progress. The Plan administrator believes the Plan is no longer subject to income tax examinations for years prior to 2011.
7. | Nonparticipant-directed Investments |
Information about the net assets at May 31 and the significant components of the changes in net assets for the year ended May 31 relating to the nonparticipant-directed investments is as follows:
2014 | 2013 | |||||||
Net assets |
||||||||
Collective trust funds |
$ | 553,862,586 | $ | 464,281,446 | ||||
Employer receivable |
48,690,673 | 46,735,971 | ||||||
Registered investment companies |
49,260,401 | 41,130,734 | ||||||
Corporate and foreign bonds |
35,723,314 | 39,713,678 | ||||||
Accrued interest and dividends |
637,919 | 717,747 | ||||||
Cash |
13,488 | | ||||||
Interest bearing cash |
1,695,548 | 3,415,879 | ||||||
Common and foreign stocks |
2,382 | 20,973 | ||||||
Preferred stocks |
569,520 | 203,920 | ||||||
Due from broker for securities sold |
882,545 | 2,666,862 | ||||||
Due to broker for securities purchased |
(1,097,583 | ) | (3,018,375 | ) | ||||
Accrued expenses |
(70,123 | ) | (69,203 | ) | ||||
|
|
|
|
|||||
Total net assets |
$ | 690,170,670 | $ | 595,799,632 | ||||
|
|
|
|
14
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Notes to Financial Statements
May 31, 2014 and 2013
Year Ended | ||||
May 31, 2014 | ||||
Changes in net assets |
||||
Net appreciation in fair value of investments |
$ | 75,234,801 | ||
Employer contributions |
48,690,673 | |||
Interest and dividends |
2,580,249 | |||
Purchases and sales, net |
109,402 | |||
Administrative and investment expenses |
(904,450 | ) | ||
Benefits paid to participants |
(31,339,652 | ) | ||
|
|
|||
$ | 94,371,023 | |||
|
|
8. | Reconciliation of Financial Statements to Form 5500 |
The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500 at May 31, 2014 and 2013:
2014 | 2013 | |||||||
Net assets available for benefits per the financial statements |
$ | 2,851,243,946 | $ | 2,391,735,936 | ||||
Benefits payable |
(908,293 | ) | (455,396 | ) | ||||
Loans deemed to be distributions for financial reporting purposes |
(626,773 | ) | (559,901 | ) | ||||
Adjustment from fair value to contract value for interest in collective trust relating to fully benefit-responsive investment contracts |
1,415,088 | 1,540,512 | ||||||
|
|
|
|
|||||
Net assets available for benefits per Form 5500 |
$ | 2,851,123,968 | $ | 2,392,261,151 | ||||
|
|
|
|
The following is a reconciliation of the net increase in net assets available for benefits per the financial statements to the Form 5500 at May 31, 2014:
Net increase in net assets per the financial statements |
$ | 459,508,010 | ||
Benefits payable at May 31, 2014 |
(908,293 | ) | ||
Benefits payable at May 31, 2013 |
455,396 | |||
Loans deemed to be distributions for financial reporting purposes at May 31, 2014 |
(626,773 | ) | ||
Loans deemed to be distributions for financial reporting purposes at May 31, 2013 |
559,901 | |||
Adjustment from fair value to contract value for interest in collective trust at May 31, 2014 |
1,415,088 | |||
Adjustment from fair value to contract value for interest in collective trust at May 31, 2013 |
(1,540,512 | ) | ||
|
|
|||
Net increase in net assets per Form 5500 |
$ | 458,862,817 | ||
|
|
15
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
May 31, 2014
(a) | (b) | (c) | (c) | (c) | (c) | (d) | (e) | |||||||||||
Rate | Date of | |||||||||||||||||
Identity of Issue, Borrower, | of | Maturity | Par | Current | ||||||||||||||
Lessor or Similar Party | Description of Investments | Interest | Year | Month | Value | Cost (1) | Value | |||||||||||
Participant directed |
||||||||||||||||||
1st Eagle Funds Inc |
Registered investment company | $ | 7,746 | |||||||||||||||
1st Eagle Funds Overseas Fund |
Registered investment company | 199,753 | ||||||||||||||||
lst Eagle Sogen Funds Global Fund |
Registered investment company | 544,319 | ||||||||||||||||
1st Eagle Sogen Funds Gold Fund |
Registered investment company | 66,215 | ||||||||||||||||
3rd Avenue Tr Intl Value Fund |
Registered investment company | 8,767 | ||||||||||||||||
3rd Avenue, Tr Real Estate Value Fund |
Registered investment company | 56,601 | ||||||||||||||||
Aberdeen Intl Equity Fund |
Registered investment company | 15,648 | ||||||||||||||||
Aberdeen Global Nat Res Fund |
Registered investment company | 7,063 | ||||||||||||||||
Advantage Funds Dreyfus Global Absolute |
Registered investment company | 5,262 | ||||||||||||||||
Advisors Inner Circle Fund Acadian Emerging Mkts Inst Fund |
Registered investment company | 17,774 | ||||||||||||||||
Advisors Inner Circle Fund Cambiar Aggressive Value |
Registered investment company | 45,236 | ||||||||||||||||
Advisors Inner Circle Fund II Inc New Champlain Small Co Fund |
Registered investment company | 32,689 | ||||||||||||||||
Advisors Ser Tr Huber Cap Small Cap Value |
Registered investment company | 167,466 | ||||||||||||||||
Aim Counselor Ser Tr Invesco Van Kampen |
Registered investment company | 13,036 | ||||||||||||||||
Aim Invesco Balanced-risk Allocation Fund CL A |
Registered investment company | 2,217 | ||||||||||||||||
Aim Invesco International Fund Asia |
Registered investment company | 18,938 | ||||||||||||||||
Aim Sector Funds Invesco Gold & Precious Metals |
Registered investment company | 15,266 | ||||||||||||||||
Aim Sector Funds Invesco Van Kampen CL Y |
Registered investment company | 9,758 | ||||||||||||||||
Aim Sector Funds Invesco Small Cap Value CL A |
Registered investment company | 15,629 | ||||||||||||||||
Alger Funds II Spectra CL A |
Registered investment company | 63,381 | ||||||||||||||||
Alger Funds II Spectra CL I |
Registered investment company | 95,059 | ||||||||||||||||
Alliance Bernstein Growth & Inc Fund |
Registered investment company | 20,838 | ||||||||||||||||
Alliance Bernstein Global Bond |
Registered investment company | 101,273 | ||||||||||||||||
Alliance Berstein HI Inc Fund CL A |
Registered investment company | 79,499 | ||||||||||||||||
Alliance Bernstein Quasar Fund CL A |
Registered investment company | 2,236 | ||||||||||||||||
Alliance Bernstein Small/Mid Cap Growth |
Registered investment company | 2,178 | ||||||||||||||||
Alliance Funds Global Small Cap |
Registered investment company | 2,445 | ||||||||||||||||
Allianz Funds NFJ Intl Value Fund CL D |
Registered investment company | 93,947 | ||||||||||||||||
Allianz Funds NFJ Dividend Value |
Registered investment company | 14,583 | ||||||||||||||||
Allianz Funds RCM Wellness Fund |
Registered investment company | 43,378 | ||||||||||||||||
Amana Mutual Fund Tr Growth Fund |
Registered investment company | 267,736 | ||||||||||||||||
Amana Mutual Fund Tr Income Fund |
Registered investment company | 72,959 | ||||||||||||||||
American AMCAP Fund |
Registered investment company | 66,878 | ||||||||||||||||
American Beacon Intl Equity |
Registered investment company | 35,170 | ||||||||||||||||
American Beacon Funds Large Cap Value Fund |
Registered investment company | 156,728 | ||||||||||||||||
American Beacon Funds Mid Cap Value Fund |
Registered investment company | 44,694 | ||||||||||||||||
American Bellcon Funds Small Cap Value Fund |
Registered investment company | 51,354 | ||||||||||||||||
American Cap World Growth & Inc Fund |
Registered investment company | 5,168 | ||||||||||||||||
American Century 20th Century Growth Fund |
Registered investment company | 289,295 | ||||||||||||||||
American Century Cap Portfolio Inc Equity Income Fund |
Registered investment company | 501,397 | ||||||||||||||||
American Century Cap Portfolio Inc Mid Cap Value Fund |
Registered investment company | 127,563 | ||||||||||||||||
American Century Cap Portfolio Inc Real Estate Fund |
Registered investment company | 23,341 | ||||||||||||||||
American Century Cap Portfolio Inc Value Fund |
Registered investment company | 53,958 | ||||||||||||||||
American Century Ginnie Mae Investor Class |
Registered investment company | 4,415 | ||||||||||||||||
American Century Govt Inc Tr Benham |
Registered investment company | 65,398 | ||||||||||||||||
American Century Govt Inc Tr Inflation-adjusted Bd Fund |
Registered investment company | 49,792 | ||||||||||||||||
American Century Intl Bond Fund |
Registered investment company | 11,057 | ||||||||||||||||
American Century Mut Fund Inc Heritage Fund |
Registered investment company | 86,364 | ||||||||||||||||
American Century Mutual Funds Inc Cap Value |
Registered investment company | 112,594 | ||||||||||||||||
American Century Quantitative Equity Growth Fund |
Registered investment company | 220,863 | ||||||||||||||||
American Century Quantitative Equity Utils Fund |
Registered investment company | 50,632 | ||||||||||||||||
American Century World Mutual Fund Inc 20th Centy Intl Discovery Fund |
Registered investment company | 29,319 | ||||||||||||||||
American Century World Mutual Fund Inc 20th Centy Intl Growth Fund |
Registered investment company | 116,849 | ||||||||||||||||
Appleseed Fund |
Registered investment company | 38,755 | ||||||||||||||||
Arbitrage Funds CL R |
Registered investment company | 5,817 | ||||||||||||||||
Ariel Invt Tr Appreciation Fund |
Registered investment company | 22,097 | ||||||||||||||||
Ariel Invt Tr Focus Fund |
Registered investment company | 11,643 | ||||||||||||||||
Arrow Invts Tr Commodity Strategy |
Registered investment company | 16,750 | ||||||||||||||||
Arlio Global lnvt Funds Aberbeen Select Intl Equity II CL A |
Registered investment company | 8,446 | ||||||||||||||||
Artisan Funds Global Value |
Registered investment company | 34,318 | ||||||||||||||||
Artisan Funds Inc International Value Fund |
Registered investment company | 83,507 | ||||||||||||||||
Artisan Funds Inc International Fund |
Registered investment company | 401,963 | ||||||||||||||||
Artisan Funds Inc International Small Cap Fund |
Registered investment company | 16,971 | ||||||||||||||||
Artisan Partners Funds Global Equity |
Registered investment company | 17,890 | ||||||||||||||||
Artisan Funds Mid Cap Fund |
Registered investment company | 279,662 | ||||||||||||||||
Artisan Funds Mid Cap Value Fund |
Registered investment company | 37,547 | ||||||||||||||||
AQR Funds Small Cap Momentum |
Registered investment company | 12,556 | ||||||||||||||||
Aquila Three Peaks High Income Fund |
Registered investment company | 53,952 | ||||||||||||||||
Aston Funds Small Cap Growth |
Registered investment company | 28,921 | ||||||||||||||||
Aston Funds for future issuesFairpointe Mid Cap Fund |
Registered investment company | 41,076 | ||||||||||||||||
Aston Funds for future issuesMontag Caldwll Growth Fund |
Registered investment company | 16,187 | ||||||||||||||||
Baird Funds Core Plus Bond Fund |
Registered investment company | 45,742 | ||||||||||||||||
Baron Ast Fund Growth Fund |
Registered investment company | 451,247 | ||||||||||||||||
Baron Ast Fund Small Cap Fund |
Registered investment company | 185,901 | ||||||||||||||||
Baron Invt Funds Tr Opportunity Fund |
Registered investment company | 3,314 | ||||||||||||||||
Baron Partners Fund |
Registered investment company | 112,344 | ||||||||||||||||
Baron Select Fund Real Estate Fund |
Registered investment company | 24,407 | ||||||||||||||||
Blackrock Emerging Markets |
Registered investment company | 25,401 | ||||||||||||||||
Blackrock Equity Dividend Fund CL-A |
Registered investment company | 228,871 | ||||||||||||||||
Blackrock Equity Dividend fund Svc Cl |
Registered investment company | 40,161 | ||||||||||||||||
Blackrock Funds High Yield Bond |
Registered investment company | 23,829 | ||||||||||||||||
Blackrock Funds Intl Opportunities Portfolio |
Registered investment company | 67,568 | ||||||||||||||||
Blackrock Funds Global Allocation Fund CL A |
Registered investment company | 15,967 | ||||||||||||||||
Blackrock Funds Global Long/Short |
Registered investment company | 79,581 | ||||||||||||||||
Blackrock Funds II Multi Asset Income |
Registered investment company | 66,750 | ||||||||||||||||
Blackrock GNMA Portfolio |
Registered investment company | 3,564 | ||||||||||||||||
Blackrock Hlth Sc- Inv A |
Registered investment company | 12,854 | ||||||||||||||||
Blackrock Nat Res Tr CL A |
Registered investment company | 5,411 | ||||||||||||||||
Blair William Mutual Funds Small Cap Growth Fund |
Registered investment company | 36,253 | ||||||||||||||||
Blair William Mutual Funds Small Mid-Cap Growth Fund |
Registered investment company | 21,532 |
17
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
May 31, 2014
(a) | (b) | (c) | (c) | (c) | (c) | (d) | (e) | |||||||||||
Rate | Date of | |||||||||||||||||
Identity of Issue, Borrower, | of | Maturity | Par | Current | ||||||||||||||
Lessor or Similar Party | Description of Investments | Interest | Year | Month | Value | Cost (1) | Value | |||||||||||
BMO Small Cap Growth |
Registered investment company | 7,137 | ||||||||||||||||
BMO Funds Inc Tch Corp Income Fund CL Y |
Registered investment company | 35,141 | ||||||||||||||||
BNY Mellon Funds Tr Small Cap Multi Strategy Fund |
Registered investment company | 1,716 | ||||||||||||||||
Bridgeway Aggressive Investors Fund |
Registered investment company | 14,316 | ||||||||||||||||
Bridgeway Small Cap Value Fund CL N |
Registered investment company | 8,198 | ||||||||||||||||
Broadview Funds Tr Opportunity Fund |
Registered investment company | 8,733 | ||||||||||||||||
Brown Advisory Growth Equity Fund |
Registered investment company | 45,594 | ||||||||||||||||
Brown Cap Mgmt Small Co Fund |
Registered investment company | 34,001 | ||||||||||||||||
Buffalo Hi Yield Fund |
Registered investment company | 14,562 | ||||||||||||||||
Buffalo Funds Discovery |
Registered investment company | 45,915 | ||||||||||||||||
Buffalo Emerging Opportunities Fund |
Registered investment company | 31,522 | ||||||||||||||||
Buffalo Small Cap Fund |
Registered investment company | 52,909 | ||||||||||||||||
Burnham Finl Services Fund CL A |
Registered investment company | 2,028 | ||||||||||||||||
Calamos Invt Tr New Growth Fund |
Registered investment company | 85,062 | ||||||||||||||||
Calvert Impact Fund Inc Global Water Fund CL A |
Registered investment company | 2,200 | ||||||||||||||||
Calvert Ultra Short Income Fund CL Y |
Registered investment company | 25,746 | ||||||||||||||||
Calvert Ultra Short Fltg Income Fund CL A |
Registered investment company | 62,159 | ||||||||||||||||
Causeway Emerging Markets Fund |
Registered investment company | 19,756 | ||||||||||||||||
CGM Focus Fund |
Registered investment company | 184,737 | ||||||||||||||||
CGM Tr Realty Fund |
Registered investment company | 71,318 | ||||||||||||||||
Champlain Mid Cap Fund |
Registered investment company | 154,271 | ||||||||||||||||
Cohen & Steers lntl Rlty Shs Fund |
Registered investment company | 5,745 | ||||||||||||||||
Cohen & Steers Rlty Focus Fund CL A |
Registered investment company | 17,668 | ||||||||||||||||
Cohen & Steers Rlty Shs Inc Com Fund |
Registered investment company | 348,857 | ||||||||||||||||
Columbia Acorn Tr. European Fund |
Registered investment company | 19,449 | ||||||||||||||||
Columbia Acorn Tr Fund CL Z |
Registered investment company | 14,275 | ||||||||||||||||
Columbia Funds Ser Tr Emerging Markets |
Registered investment company | 23,135 | ||||||||||||||||
Columbia Funds Ser Tr Energy & Nat Res |
Registered investment company | 73,858 | ||||||||||||||||
Columbia Funds Ser Tr Value & Restructuring CL Z |
Registered investment company | 216,969 | ||||||||||||||||
Columbia Funds Ser Tr Mid Cap Value |
Registered investment company | 9,914 | ||||||||||||||||
Commerce Funds Value Fund |
Registered investment company | 31,905 | ||||||||||||||||
Conestoga Funds Small Cap Fund |
Registered investment company | 53,412 | ||||||||||||||||
CRM Small/Mid Cap Value Fund |
Registered investment company | 18,375 | ||||||||||||||||
DFA Invt Dimensions Group US Micro Cap Fund |
Registered investment company | 16,649 | ||||||||||||||||
Diamond Hill Large Cap |
Registered investment company | 11,254 | ||||||||||||||||
Diamond Hill Small Cap Fund |
Registered investment company | 33,774 | ||||||||||||||||
Direxion Funds Latin America Bull |
Registered investment company | 1,688 | ||||||||||||||||
Direxion Funds Monthly NASDAQ-100 |
Registered investment company | 5,088 | ||||||||||||||||
Direxion Funds Monthly Nat Res Bull 2x Fund |
Registered investment company | 1,477 | ||||||||||||||||
Direxion Funds Monthly S&P 500 Bull 2x |
Registered investment company | 2,474 | ||||||||||||||||
Direxion Funds Monthly 7-10 Yr Treas Bear 2x |
Registered investment company | 28,240 | ||||||||||||||||
Dodge & Cox Balanced Fund |
Registered investment company | 297,320 | ||||||||||||||||
Dodge & Cox Inc Fund |
Registered investment company | 123,691 | ||||||||||||||||
Dodge & Cox International Stock Fund |
Registered investment company | 384,630 | ||||||||||||||||
Dodge & Cox Global Stk Fund |
Registered investment company | 1,172 | ||||||||||||||||
Dodge & Cox Stock Fund |
Registered investment company | 216,793 | ||||||||||||||||
Domini Social Index Fund |
Registered investment company | 8,000 | ||||||||||||||||
Doubleline Total Return BondN |
Registered investment company | 173,672 | ||||||||||||||||
Doubleline Total Return BondI |
Registered investment company | 49,403 | ||||||||||||||||
Dreyfus Appreciation Fund |
Registered investment company | 85,080 | ||||||||||||||||
Dreyfus Emerging Markets Fund |
Registered investment company | 130,137 | ||||||||||||||||
Dreyfus Fund Inc |
Registered investment company | 18,615 | ||||||||||||||||
Dreyfus Index Funds S&P 500 Index Fund |
Registered investment company | 27,001 | ||||||||||||||||
Dreyfus Index Funds Small Cap Stock Fund |
Registered investment company | 54,266 | ||||||||||||||||
Dreyfus Invt Grade Fund |
Registered investment company | 5,060 | ||||||||||||||||
Dreyfus Midcap Index Fund |
Registered investment company | 23,874 | ||||||||||||||||
Dreyfus Midcap Growth Fund |
Registered investment company | 21,219 | ||||||||||||||||
Dreyfus NY Municipal Cash Mgmt Emerging Markets Fund |
Registered investment company | 8,469 | ||||||||||||||||
Dreyfus Opportunistic Mid Cap Value |
Registered investment company | 57,839 | ||||||||||||||||
Dreyfus/The Boston Company Small/Mid Cap Growth Fund CL A |
Registered investment company | 4,840 | ||||||||||||||||
DWS Mkt Tr Alternative Asset Allocation Fund |
Registered investment company | 31,705 | ||||||||||||||||
DWS Secs Tr Gold & Precious Metals Fund CL S |
Registered investment company | 44,297 | ||||||||||||||||
Eagle Ser |
Registered investment company | 25,253 | ||||||||||||||||
Eaton Vance Inc Fund Bstn Inc |
Registered investment company | 155,157 | ||||||||||||||||
Eaton Vance Mutual Funds Tr Fltg Rate Advantage CL A |
Registered investment company | 25,306 | ||||||||||||||||
Eaton Vance Mutual Funds Tr Fltg Rate & High Income Fund |
Registered investment company | 59,945 | ||||||||||||||||
Eaton Vance Mutual Funds Tr Fltg Rate Fund Advisors Cl |
Registered investment company | 41,266 | ||||||||||||||||
Eaton Vance Mutual Funds Tr Strategic Inc Fund |
Registered investment company | 109,734 | ||||||||||||||||
Eaton Vance Parametric Structured Emerging Markets |
Registered investment company | 181,659 | ||||||||||||||||
Eaton Vance Spl Invt Tr Greater India Fund |
Registered investment company | 48 | ||||||||||||||||
Equity Inc A |
Registered investment company | 90,470 | ||||||||||||||||
Europac Growth Fund CL F-l |
Registered investment company | 22,580 | ||||||||||||||||
Europac Growth Fund CL R-4 |
Registered investment company | 142,816 | ||||||||||||||||
Europac Growth Fund CL R-5 _ |
Registered investment company | 30,587 | ||||||||||||||||
Fairholme Income Fund |
Registered investment company | 542,425 | ||||||||||||||||
Federated Income Secs Tr Short-term Income Fund |
Registered investment company | 11,994 | ||||||||||||||||
Federated Prudent Bear Fund |
Registered investment company | 8,886 | ||||||||||||||||
Federated Total Retum Sers Inc Bond Fund |
Registered investment company | 209,437 | ||||||||||||||||
Fedt Equity Inc Fund CL A |
Registered investment company | 12,555 | ||||||||||||||||
Fedt Hi Yield Tr Sh Ben Int Open End Fund |
Registered investment company | 34,003 | ||||||||||||||||
Fidelity Advisor Ser II Fltg Rate High Inc Fund |
Registered investment company | 316,205 | ||||||||||||||||
Fidelity Advisor Ser VIII Emerging Asia Fund |
Registered investment company | 34,321 | ||||||||||||||||
Fidelity Cap & Income Fund |
Registered investment company | 33,370 | ||||||||||||||||
Fidelity China Region Fund |
Registered investment company | 24,067 | ||||||||||||||||
Fidelity Concord Str Tr Spartan Intl Index Fund |
Registered investment company | 45,344 | ||||||||||||||||
Fidelity Concord Str Tr Spartan Short term Treas Bd Index |
Registered investment company | 69,465 | ||||||||||||||||
Fidelity Finl Tr Conv Sec Fund |
Registered investment company | 20,877 |
18
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
May 31, 2014
(a) | (b) | (c) | (c) | (c) | (c) | (d) | (e) | |||||||||||
Rate | Date of | |||||||||||||||||
Identity of Issue, Borrower, | of | Maturity | Par | Current | ||||||||||||||
Lessor or Similar Party | Description of Investments | Interest | Year | Month | Value | Cost (1) | Value | |||||||||||
Fidelity Invt Tr Canada Fund |
Registered investment company | 18,281 | ||||||||||||||||
Fidelity Contra Fund |
Registered investment company | 292,906 | ||||||||||||||||
Fidelity Equity Income Real Estate Invt Portfolio |
Registered investment company | 35,426 | ||||||||||||||||
Fidelity DVD Growth Fund |
Registered investment company | 6,680 | ||||||||||||||||
Fidelity Hastings Str Tr Growth Fund |
Registered investment company | 9,112 | ||||||||||||||||
Fidelity Invt Tr Emerging Markets Fund |
Registered investment company | 5,856 | ||||||||||||||||
Fidelity Invt Tr New Markets Income Fund |
Registered investment company | 29,842 | ||||||||||||||||
Fidelity Invt Tr Worldwide Fund |
Registered investment company | 28,568 | ||||||||||||||||
Fidelity Low priced stock Fund |
Registered investment company | 54,979 | ||||||||||||||||
Fidelity Magellan Fund |
Registered investment company | 7,083 | ||||||||||||||||
Fidelity New Latin America Fund |
Registered investment company | 8,098 | ||||||||||||||||
Fidelity New Millennium Fund |
Registered investment company | 13,016 | ||||||||||||||||
Fidelity OTC Portfolio Open End Fund |
Registered investment company | 33,206 | ||||||||||||||||
Fidelity Puritan Fund |
Registered investment company | 10,058 | ||||||||||||||||
Fidelity Secs Fund Intl Real Estate |
Registered investment company | 23,292 | ||||||||||||||||
Fidelity Select Biotechnology |
Registered investment company | 31,259 | ||||||||||||||||
Fidelity Select Portfolios Advisor Materials CL A |
Registered investment company | 17,477 | ||||||||||||||||
Fidelity Secs Blue Chip Growth Fund |
Registered investment company | 3,012 | ||||||||||||||||
Fidelity Secs Fund Small Cap Value Fund |
Registered investment company | 15,516 | ||||||||||||||||
Fidelity Small Cap Stock Fund |
Registered investment company | 33,113 | ||||||||||||||||
Fidelity Value Fund |
Registered investment company | 171,191 | ||||||||||||||||
Financial Invs Tr Grandeur Peak Intl Opportunities Fund |
Registered investment company | 105,505 | ||||||||||||||||
Financial Invs Tr Vulcan Value |
Registered investment company | 25,693 | ||||||||||||||||
Financial Invs Tr Vulcan Value Partners Fund |
Registered investment company | 32,496 | ||||||||||||||||
First Focus Tributary Balanced Fund |
Registered investment company | 2,513 | ||||||||||||||||
Firsthand Funds Technology Opportunities Fund |
Registered investment company | 6,510 | ||||||||||||||||
Firsthand Funds Technology Value Fund |
Registered investment company | 21,102 | ||||||||||||||||
Fleming Cap Mut Fund Group JP Morgan MidCap Value Fund |
Registered investment company | 15,217 | ||||||||||||||||
FMI Common Stk Fund |
Registered investment company | 19,066 | ||||||||||||||||
FMI Funds Inc |
Registered investment company | 318,130 | ||||||||||||||||
Forum Funds Merk Hard Currency |
Registered investment company | 82,778 | ||||||||||||||||
Franklin Balance Sheet Fund CL A |
Registered investment company | 32,645 | ||||||||||||||||
Franklin Managed Tr Rising Dividends |
Registered investment company | 33,349 | ||||||||||||||||
Franklin Strategic Ser Biotechnology Discovery Fund |
Registered investment company | 13,844 | ||||||||||||||||
Franklin Value Invs Tr Small Cap Value Fund |
Registered investment company | 212,344 | ||||||||||||||||
Franklin Growth Fund |
Registered investment company | 6,367 | ||||||||||||||||
Franklin Mutual Global Discovery |
Registered investment company | 44,127 | ||||||||||||||||
Gabelli Ast Fund Sh Ben Int Fund |
Registered investment company | 45,195 | ||||||||||||||||
Gabelli Equity Inc Fund |
Registered investment company | 185,583 | ||||||||||||||||
Gabelli Gold Fund |
Registered investment company | 7,195 | ||||||||||||||||
Gabelli Small Cap Growth Fund |
Registered investment company | 91,804 | ||||||||||||||||
Gabelli Value 25 Fund |
Registered investment company | 2,144 | ||||||||||||||||
Gateway Tr Fund CL A |
Registered investment company | 14,633 | ||||||||||||||||
Glenmede Inc Large Cap Growth |
Registered investment company | 69,679 | ||||||||||||||||
Glenmede Inc Large Cap 100 Port |
Registered investment company | 15,102 | ||||||||||||||||
Glenmede Small Capitalization Equity Port Adv |
Registered investment company | 17,441 | ||||||||||||||||
Goldman Sachs Tr Mid Cap Value Fund CL A |
Registered investment company | 52,782 | ||||||||||||||||
Goldman Sachs Tr Mid Cap Equity Fund Instl Shs |
Registered investment company | 17,687 | ||||||||||||||||
Goldman Sachs Tr Small/Mid Cap Growth Fund |
Registered investment company | 26,168 | ||||||||||||||||
Goldman Sachs Tr Strategic Income Fund |
Registered investment company | 1,945 | ||||||||||||||||
Greenspring Fund |
Registered investment company | 14,397 | ||||||||||||||||
Growth Fund America Inc CL F-1 |
Registered investment company | 153,747 | ||||||||||||||||
Growth Fund America Inc CL R-4 |
Registered investment company | 101,115 | ||||||||||||||||
Growth Fund America Inc CL R-5 |
Registered investment company | 153,538 | ||||||||||||||||
Guinness Atkinson Funds Alternative Energy |
Registered investment company | 22,556 | ||||||||||||||||
Guiness Atkinson Funds China & Hong Kong |
Registered investment company | 37,852 | ||||||||||||||||
Guinness Atkinson Funds Global Energy |
Registered investment company | 1,654 | ||||||||||||||||
Hancock Horizon Burkenroad - A |
Registered investment company | 15,612 | ||||||||||||||||
Harbor Fund Intl Fund |
Registered investment company | 202,822 | ||||||||||||||||
Harbor Fund Bd Fund |
Registered investment company | 51,263 | ||||||||||||||||
Harbor Fund Cap Appreciation Fund |
Registered investment company | 47,086 | ||||||||||||||||
Harding Loevner Fds Inc Emerging Markets Portfolio Advisor CI |
Registered investment company | 19,206 | ||||||||||||||||
Harding Loevner Inter S/C-IV |
Registered investment company | 5,298 | ||||||||||||||||
Harding Loevner Intl Equity |
Registered investment company | 94,106 | ||||||||||||||||
Harris Assoc Invt Tr Oakmark Intl Small Cap Fund |
Registered investment company | 8,515 | ||||||||||||||||
Harris Assoc Invt Tr Oakmark Intl Fund |
Registered investment company | 831,253 | ||||||||||||||||
Hartford Mut Funds Growth Opportunities |
Registered investment company | 46,739 | ||||||||||||||||
Hartford Mutual Fund Inc for future issues Mid Cap |
Registered investment company | 48,866 | ||||||||||||||||
Heartland Group Inc Value Plus Fund |
Registered investment company | 57,162 | ||||||||||||||||
Henderson Global Funds Intl Opportunities Fund |
Registered investment company | 33,001 | ||||||||||||||||
Hennessy Mutual Funds Inc Focus Fund |
Registered investment company | 60,242 | ||||||||||||||||
Hennessy Mutual Funds Inc Focus Fund 30 |
Registered investment company | 71,200 | ||||||||||||||||
Hennessy Funds Tr Gas Utility Index Fund |
Registered investment company | 44,823 | ||||||||||||||||
Hennessy Funds Tr Small Cap Finl Fund |
Registered investment company | 7,318 | ||||||||||||||||
Hennessy Select Sparx Japan Small Cos |
Registered investment company | 965 | ||||||||||||||||
Highland Funds I Fltg Rate Opportunities Fund |
Registered investment company | 2,077 | ||||||||||||||||
Homestead Funds Inc Small co Stk Fund |
Registered investment company | 45,321 | ||||||||||||||||
Hussman Strategic Growth Fund |
Registered investment company | 94,301 | ||||||||||||||||
Hussman Strategic Total Return Fund |
Registered investment company | 20,238 | ||||||||||||||||
Icon Funds Intl Equity Fund |
Registered investment company | 4,893 | ||||||||||||||||
Icon Funds Energy Fund |
Registered investment company | 138,912 | ||||||||||||||||
Icon Funds Information Tech Fund |
Registered investment company | 26,409 | ||||||||||||||||
Icon Funds Materials Fund |
Registered investment company | 2,889 | ||||||||||||||||
International Fund |
Registered investment company | 592,075 | ||||||||||||||||
Internet Fund |
Registered investment company | 10,012 | ||||||||||||||||
Intrepid Cap Mgmt Funds Small Cap |
Registered investment company | 5,579 | ||||||||||||||||
Invesco Charter Fund |
Registered investment company | 41,911 | ||||||||||||||||
Invesco Diversified Dividend Fund |
Registered investment company | 52,177 | ||||||||||||||||
Invesco Technology Fund |
Registered investment company | 3,264 | ||||||||||||||||
Investment Managers Ser Tr Europac Gold Fund |
Registered investment company | 29,474 | ||||||||||||||||
Investment Managers Ser Tr WCM Focused Intl Growth |
Registered investment company | 206,540 | ||||||||||||||||
Ivy Funds Inc Asset Strategy Fund CL A |
Registered investment company | 345,056 | ||||||||||||||||
Ivy Funds Inc LTD-Term Bond Fund CL Y |
Registered investment company | 3,506 | ||||||||||||||||
Ivy Funds Inc Science & Tech Fund CL Y |
Registered investment company | 35,384 | ||||||||||||||||
Ivy Funds Inc Small Cap Growth CL Y |
Registered investment company | 13,561 | ||||||||||||||||
Jumes Advantage Funds Balanced Golden Rainbow Fund |
Registered investment company | 4,696 |
19
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
May 31, 2014
(a) | (b) | (c) | (c) | (c) | (c) | (d) | (e) | |||||||||||
Rate | Date of | |||||||||||||||||
Identity of Issue, Borrower, | of | Maturity | Par | Current | ||||||||||||||
Lessor or Similar Party | Description of Investments | Interest | Year | Month | Value | Cost (1) | Value | |||||||||||
Janus Balanced Fund-T |
Registered investment company | 200,469 | ||||||||||||||||
Janus Contrarian Fund |
Registered investment company | 68,803 | ||||||||||||||||
Janus Enterprise T |
Registered investment company | 148,866 | ||||||||||||||||
Janus Flexible Bond F-T |
Registered investment company | 23,678 | ||||||||||||||||
Janus Global Life Sciences |
Registered investment company | 16,319 | ||||||||||||||||
Janus Global Select Fund T |
Registered investment company | 89,889 | ||||||||||||||||
Janus Global Technology-T |
Registered investment company | 37,293 | ||||||||||||||||
Janus Growth & Income Fund |
Registered investment company | 99,350 | ||||||||||||||||
Janus High Yield Fund-T |
Registered investment company | 51,437 | ||||||||||||||||
Janus Overseas Fund T |
Registered investment company | 69,480 | ||||||||||||||||
Janus Research Fund |
Registered investment company | 286,010 | ||||||||||||||||
Janus Triton Fund |
Registered investment company | 174,825 | ||||||||||||||||
Janus Venture Fund |
Registered investment company | 175,047 | ||||||||||||||||
Janus Worldwide Fund T |
Registered investment company | 13,833 | ||||||||||||||||
Jensen Portfolio Inc Fund CL J |
Registered investment company | 636,789 | ||||||||||||||||
JOHCM International Select Fund |
Registered investment company | 180,968 | ||||||||||||||||
John Hancock III Disciplined Value Mid Cap Fund |
Registered investment company | 4,291 | ||||||||||||||||
John Hancock Disciplined Value Fund CL A |
Registered investment company | 210,435 | ||||||||||||||||
John Hancock Funds II US Equity |
Registered investment company | 14,594 | ||||||||||||||||
John Hancock Strategic Ser Inc Fund |
Registered investment company | 16,453 | ||||||||||||||||
JP Morgan STR Income Opp - A |
Registered investment company | 100,427 | ||||||||||||||||
JP Morgan Tr I US Equity Fund CL A |
Registered investment company | 94,404 | ||||||||||||||||
JP Morgan Tr II Core Plus Bond Fund CL A |
Registered investment company | 110,964 | ||||||||||||||||
JP Morgan Tr II Equity Income Fund |
Registered investment company | 114,765 | ||||||||||||||||
JP Morgan Tr II Large, Cap Growth |
Registered investment company | 56,772 | ||||||||||||||||
JP Morgan Tr II Small Cap Value Fund |
Registered investment company | 3,936 | ||||||||||||||||
Kalmar Pooled Invt Tr Small Cap |
Registered investment company | 56,852 | ||||||||||||||||
Keeley Small Cap Value Fund |
Registered investment company | 94,166 | ||||||||||||||||
Kinetics New Paradigm Fund |
Registered investment company | 13,749 | ||||||||||||||||
Large Cap Value |
Registered investment company | 96,364 | ||||||||||||||||
Laudus Tr Growth Large Cap Growth Fund |
Registered investment company | 173,364 | ||||||||||||||||
Laudus Tr Mondrian Intl Govt Fixed Income |
Registered investment company | 8,522 | ||||||||||||||||
Lazard Funds Inc Dev Mkts Equity Port Open Shs |
Registered investment company | 3,712 | ||||||||||||||||
Lazard Funds Inc Emerging Markets Fund |
Registered investment company | 15,185 | ||||||||||||||||
Lazard Funds Inc Emerging Markets Fund Equity Port Open Shs |
Registered investment company | 149,380 | ||||||||||||||||
Lazard Funds Inc Intl Small Cap Fund |
Registered investment company | 3,228 | ||||||||||||||||
Lazard Funds Inc Intl Strategic Equity |
Registered investment company | 15,242 | ||||||||||||||||
Lazard Funds Inc Realty Equity Portfolio Open |
Registered investment company | 11,508 | ||||||||||||||||
Lazard Funds Inc Realty Income Portfolio Open |
Registered investment company | 16,844 | ||||||||||||||||
Legg Mason Invt Tr Opportunity |
Registered investment company | 22,943 | ||||||||||||||||
Legg Mason Global Ast Mgmt Tr |
Registered investment company | 156,518 | ||||||||||||||||
Legg Mason Partners Equity Tr Clearbridge Small Cap Growth |
Registered investment company | 3,879 | ||||||||||||||||
Litman Gregory Funds Tr Masters Alternative Strategies |
Registered investment company | 59,324 | ||||||||||||||||
Loomis Sayles Bond Fund |
Registered investment company | 360,545 | ||||||||||||||||
Loomis Sayles Funds II CL A |
Registered investment company | 11,432 | ||||||||||||||||
Loomis Sayles Invt Tr Small Cap Value Fund |
Registered investment company | 38,342 | ||||||||||||||||
Loomis Sayles Invt Tr Global Bond Fund |
Registered investment company | 8,297 | ||||||||||||||||
Lord Abbet High Yield Fund CL A |
Registered investment company | 48,613 | ||||||||||||||||
Lord Abbet Invt Tr Fltg Rate Fund CL A |
Registered investment company | 41,791 | ||||||||||||||||
Lord Abbet Invt Tr Multi-asset Income Fund CL A |
Registered investment company | 13,715 | ||||||||||||||||
Mainstay Funds Global High Income Fund CL A |
Registered investment company | 2,656 | ||||||||||||||||
Mainstay Funds Tr Marketfield Fund CL A |
Registered investment company | 12,537 | ||||||||||||||||
Mainstay ICAP International |
Registered investment company | 38,262 | ||||||||||||||||
Mainstay ICAP Select Equity |
Registered investment company | 28,303 | ||||||||||||||||
Mairs and Power Growth Fund |
Registered investment company | 53,864 | ||||||||||||||||
Managers AMG - 2Y1SAM1 |
Registered investment company | 552,615 | ||||||||||||||||
Managers AMG - 2Y1UAQ1 |
Registered investment company | 43,724 | ||||||||||||||||
Managers AMG - 2Y1AA21 |
Registered investment company | 5,182 | ||||||||||||||||
Managers AMG - 2Y1RAK1 |
Registered investment company | 337,633 | ||||||||||||||||
Managers Funds Real Estate Secs Fund |
Registered investment company | 28,857 | ||||||||||||||||
Manning & Napier Fund Inc New Equity Ser Fund |
Registered investment company | 11,994 | ||||||||||||||||
Manning & Napier Fund Inc New Intl Ser CL S |
Registered investment company | 13,594 | ||||||||||||||||
Manning & Napier Fund New World Opportunities |
Registered investment company | 179,277 | ||||||||||||||||
Manning & Napier Fund Real Estate Series |
Registered investment company | 13,213 | ||||||||||||||||
Marisco Invt Fund Flexible Cap Fund |
Registered investment company | 131,790 | ||||||||||||||||
Marisco Invt Fund Focus Fund |
Registered investment company | 191,966 | ||||||||||||||||
Marsico Invt Growth Fund |
Registered investment company | 7,932 | ||||||||||||||||
Marsico lnvt Fund 21st Century Fund |
Registered investment company | 69,839 | ||||||||||||||||
Matthew 25 Fund |
Registered investment company | 54,752 | ||||||||||||||||
Matthews Asian Funds Asia Dividend |
Registered investment company | 55,106 | ||||||||||||||||
Matthews Intl Funds Asian Sci & Technology |
Registered investment company | 8,159 | ||||||||||||||||
Matthews Intl Funds Asia Growth & Income |
Registered investment company | 343,780 | ||||||||||||||||
Matthews International Funds China Fund |
Registered investment company | 109,912 | ||||||||||||||||
Matthews International Funds Pac Tiger Fund |
Registered investment company | 149,624 | ||||||||||||||||
Matthews International Funds India Fund |
Registered investment company | 27,203 | ||||||||||||||||
Merger Sh Ben Int |
Registered investment company | 3,019 | ||||||||||||||||
Meridian Fund Inc Com Open End Fund |
Registered investment company | 158,262 | ||||||||||||||||
Meridian Fund Inc Value Fund |
Registered investment company | 49,967 | ||||||||||||||||
Metropolitan West Funds Total Return Bond Fund |
Registered investment company | 248,833 | ||||||||||||||||
MFS Emerging Markets Debt Fund CL 1 |
Registered investment company | 17,651 | ||||||||||||||||
MFS Intl New Discovery Fund CL A |
Registered investment company | 10,755 | ||||||||||||||||
MFS New Discovery Fund |
Registered investment company | 22,227 | ||||||||||||||||
MFS Ser Tr Emerging Markets Debt Fund |
Registered investment company | 349,144 | ||||||||||||||||
MFS Utils Fund |
Registered investment company | 95,035 | ||||||||||||||||
Morgan Stanley Institutional Mid Cap Growth |
Registered investment company | 121,267 | ||||||||||||||||
Morgan Stanley Instl Fund Inc Cap Growth Port CL A |
Registered investment company | 64,065 | ||||||||||||||||
Morgan Stanley Instl Fund Inc Small Co Growth Portfolio |
Registered investment company | 8,286 | ||||||||||||||||
Motley Fool Tr Great America Fund |
Registered investment company | 30,760 | ||||||||||||||||
Mutual Fund Ser Tr Catalyst Small Cap Insider Buying Fund |
Registered investment company | 27,216 | ||||||||||||||||
Mutual Fund Ser Tr Eventide Gilead Fund Retail CL |
Registered investment company | 1,901 | ||||||||||||||||
Mutuals Com USA Mutuals Barrier Fund |
Registered investment company | 1,577 | ||||||||||||||||
Needbam Funds Income Growth Fund |
Registered investment company | 49,938 | ||||||||||||||||
Neuberger & Beman Equity Funds Genesis Fund |
Registered investment company | 27,019 | ||||||||||||||||
Neuberger Berman Equity Assets Genesis Assets |
Registered investment company | 88,221 | ||||||||||||||||
Neuberger Berman Equity Multi Cap Opportunities Fund CL A |
Registered investment company | 2,323 | ||||||||||||||||
Neuberger Berman Equity Funds Real Estate Fund |
Registered investment company | 4,645 | ||||||||||||||||
Neuberger Berman Equity Funds Small Cap Growth Fund CL A |
Registered investment company | 8,808 | ||||||||||||||||
Neuberger Berman Equity Funds Small Cap Growth Fund Inv CL |
Registered investment company | 247,881 | ||||||||||||||||
Neuberger Berman Large Cap Value |
Registered investment company | 60 | ||||||||||||||||
New Perspective Fund CL F-I |
Registered investment company | 19,182 | ||||||||||||||||
Nicholas Fund Inc Cap Stk Open End |
Registered investment company | 9,073 |
20
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
May 31, 2014
(a) | (b) | (c) | (c) | (c) | (c) | (d) | (e) | |||||||||||
Rate | Date of | |||||||||||||||||
Identity of Issue, Borrower, | of | Maturity | Par | Current | ||||||||||||||
Lessor or Similar Party | Description of Investments | Interest | Year | Month | Value | Cost (1) | Value | |||||||||||
Northern Funds Small Cap Value Fund |
Registered investment company | 105,943 | ||||||||||||||||
Nuveen Invt Funds Real Estate |
Registered investment company | 35,377 | ||||||||||||||||
Nuveen Invt Funds Inc Small Cap |
Registered investment company | 7,256 | ||||||||||||||||
Nuveen Invt Tr V PFD Fund CI A |
Registered investment company | 68,227 | ||||||||||||||||
Oakmurk Equity & Inc Fund |
Registered investment company | 436,060 | ||||||||||||||||
Oakmark Fund |
Registered investment company | 465,137 | ||||||||||||||||
Oakmark Global Fund |
Registered investment company | 94,675 | ||||||||||||||||
Oakmark Select Fund |
Registered investment company | 185,454 | ||||||||||||||||
Oberweis Funds China Oppty Fund |
Registered investment company | 13,930 | ||||||||||||||||
Oberweis Funds Intl Opptys Fund |
Registered investment company | 5,029 | ||||||||||||||||
Oppenheimer Developing Markets CL A |
Registered investment company | 369,120 | ||||||||||||||||
Oppenheimer Developing Markets CL Y |
Registered investment company | 25,083 | ||||||||||||||||
Oppenheimer Global Growth & Income |
Registered investment company | 7,167 | ||||||||||||||||
Oppenheimer Intl Growth Fund CL A |
Registered investment company | 36,906 | ||||||||||||||||
Paradigm Funds Value |
Registered investment company | 12,433 | ||||||||||||||||
Parnassus Fund |
Registered investment company | 16,758 | ||||||||||||||||
Parnassus Inc Tr Core Eqty Fund |
Registered investment company | 507,110 | ||||||||||||||||
Payden & Rygel Invt Group Emerging Mkts Bond Fund |
Registered investment company | 10,642 | ||||||||||||||||
Payden & Rygel lnvt Group Emerging Mkts Bond Fund Advisor CI |
Registered investment company | 14,185 | ||||||||||||||||
Pear Tree Funds Polaris Foreign Value Sm Cap |
Registered investment company | 51,881 | ||||||||||||||||
Perkins Mid Cap Value |
Registered investment company | 131,622 | ||||||||||||||||
Perm Portfolio Fund |
Registered investment company | 172,682 | ||||||||||||||||
Perritt Micro cap Opportunities Fund |
Registered investment company | 17,444 | ||||||||||||||||
Perritt Funds Inc Ultra Microcap Fund |
Registered investment company | 18,030 | ||||||||||||||||
Pimco Funds Commodities Plus Strategy CL D |
Registered investment company | 15,224 | ||||||||||||||||
Pimco Funds Global Advantage Strategy Bond Fund |
Registered investment company | 3,614 | ||||||||||||||||
Pimco Funds Global Multi-Ast Fund CL D |
Registered investment company | 130,842 | ||||||||||||||||
Pimco Funds Global Multi-Asset Instl CI |
Registered investment company | 181,597 | ||||||||||||||||
Pimco Funds Pac lnvt Mgmt Ser Commodity Real Ret Fund |
Registered investment company | 92,168 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Short-term Fund CL D |
Registered investment company | 96,493 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Emerging Markets Bond Fund |
Registered investment company | 35,925 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Fltg Income Fund CL D |
Registered investment company | 165,294 | ||||||||||||||||
Pimco Funds Pac lnvt Mgmt Ser For Future Issues |
Registered investment company | 24,477 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser For Future Issues All Auth CL D |
Registered investment company | 358,531 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser For Future Issues All Ast CL D |
Registered investment company | 66,611 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Future Diversified Fund |
Registered investment company | 21,501 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Hi Yield Fund |
Registered investment company | 32,041 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Low Grade Bond Fund |
Registered investment company | 146,805 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Sec Low Duration Fund |
Registered investment company | 121,234 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Total Return Fund |
Registered investment company | 715,810 | ||||||||||||||||
Pimco Funds Pac Invt Mgmt Ser Total Return Fund Instl CL |
Registered investment company | 122,626 | ||||||||||||||||
Pimco Funds Small Cap Stocks plus AR Strategy |
Registered investment company | 29,202 | ||||||||||||||||
Pimco Funds Sr Fltg Rate Fund CL D |
Registered investment company | 24,000 | ||||||||||||||||
Pimco Fundamental Index |
Registered investment company | 71,461 | ||||||||||||||||
Pimco Income Fund D |
Registered investment company | 227,168 | ||||||||||||||||
Pimco Income Fund-Ins |
Registered investment company | 106,208 | ||||||||||||||||
Pimco Real Return Bond Fund |
Registered investment company | 122,508 | ||||||||||||||||
Pimco Unconstrained Bond Fund |
Registered investment company | 73,471 | ||||||||||||||||
Pioneer Hi Yield Fund |
Registered investment company | 12,836 | ||||||||||||||||
Pioneer Ser Tr IV Multi-Ast Inc Fund CL A |
Registered investment company | 154,246 | ||||||||||||||||
PNC Small Cap Fund-A |
Registered investment company | 13,867 | ||||||||||||||||
Price T Rowe Growth Stk Fund |
Registered investment company | 37,537 | ||||||||||||||||
Price T Rowe Global Technology Fund |
Registered investment company | 212,871 | ||||||||||||||||
Price T Rowe Hi Yield Fund |
Registered investment company | 86,903 | ||||||||||||||||
Price T Rowe Health Science Fund |
Registered investment company | 178,758 | ||||||||||||||||
Price T Rowe Retirement Fund 2030FD |
Registered investment company | 33,243 | ||||||||||||||||
Price T Rowe Retirement Fund 2035FD |
Registered investment company | 2,378 | ||||||||||||||||
Primecap Odyssey Funds Aggressive Growth Fund |
Registered investment company | 166,205 | ||||||||||||||||
Primecap Odyssey Funds Growth Fund |
Registered investment company | 56,820 | ||||||||||||||||
Principal Funds Inc Equity Income Fund |
Registered investment company | 73,879 | ||||||||||||||||
Principal Funds Inc Global Real Estate CL A |
Registered investment company | 10,866 | ||||||||||||||||
Principal Funds Inc Small-Midcap Dividend Income Fund |
Registered investment company | 24,382 | ||||||||||||||||
Professionally Managed Fund Asterick Xupgrader Fund |
Registered investment company | 5,900 | ||||||||||||||||
Professionally Managed Portfolios Akre Focus Fund |
Registered investment company | 119,158 | ||||||||||||||||
Professionally Managed Portfolios Becker Value Equity Fund |
Registered investment company | 53,577 | ||||||||||||||||
Professionally Managed Portfolios Hodges Sm Cap |
Registered investment company | 8,601 | ||||||||||||||||
Professionally Managed Portfolios Osterweis Strategic Inc |
Registered investment company | 6,046 | ||||||||||||||||
Profunds Biotechnology Ultrasector |
Registered investment company | 14,308 | ||||||||||||||||
Profunds Consumer Svcs Ultrasector |
Registered investment company | 2,924 | ||||||||||||||||
Profunds Internet Ultrasector |
Registered investment company | 4,747 | ||||||||||||||||
Profunds Ultra Emerging Mkts Fund |
Registered investment company | 1,321 | ||||||||||||||||
Profunds Ultra Short Small Cap |
Registered investment company | 43,275 | ||||||||||||||||
Profunds Ultrabear |
Registered investment company | 38,674 | ||||||||||||||||
Profunds Utils Ultrasector |
Registered investment company | 613 | ||||||||||||||||
Prudential Invt Portfolios Inc 10 Jennison Equity Income Fund |
Registered investment company | 48,430 | ||||||||||||||||
Prudential Jennison Mid-Cap Growth |
Registered investment company | 10,453 | ||||||||||||||||
Prudential Jennison Natural Resources CL A |
Registered investment company | 32,697 | ||||||||||||||||
Prudential Short-term Corporate Bond Fund |
Registered investment company | 146,747 |
21
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
May 31, 2014
(a) | (b) | (c) | (c) | (c) | (c) | (d) | (e) | |||||||||||
Rate | Date of | |||||||||||||||||
Identity of Issue, Borrower, | of | Maturity | Par | Current | ||||||||||||||
Lessor or Similar Party | Description of Investments | Interest | Year | Month | Value | Cost (1) | Value | |||||||||||
Putnum Funds Tr Absolute Return 300 CL Y |
Registered investment company | 78,237 | ||||||||||||||||
Putnum Funds Tr Absolute Return 300 CL A |
Registered investment company | 21,427 | ||||||||||||||||
Putnum Funds Tr Capital Spectrum Fund CL A |
Registered investment company | 64,599 | ||||||||||||||||
Putnum Funds Tr Equity Spectrum Fund CL A |
Registered investment company | 14,000 | ||||||||||||||||
Real Estate Income Fund |
Registered investment company | 31,961 | ||||||||||||||||
Reynolds Funds Blue Chip Growth |
Registered investment company | 22,378 | ||||||||||||||||
Ridgeworth Funds High Income |
Registered investment company | 51,055 | ||||||||||||||||
Ridgeworth Funds Intermediate Bond Fund |
Registered investment company | 1,812 | ||||||||||||||||
Ridgeworth Funds Seix High Yield Fund |
Registered investment company | 24,129 | ||||||||||||||||
Riv Rd Divid All Cap Value |
Registered investment company | 7,768 | ||||||||||||||||
Rowe Price New Era Fund Inc |
Registered investment company | 111,034 | ||||||||||||||||
Rowe T Price Blue Chip Growth Fund |
Registered investment company | 41,320 | ||||||||||||||||
Rowe T Price Equity Inc Fund Sh Ben Int Open End |
Registered investment company | 466,621 | ||||||||||||||||
Rowe T Price Index Tr Income Equity 500 Index Fund |
Registered investment company | 11,797 | ||||||||||||||||
Rowe T Price Int Latin America Fund |
Registered investment company | 47,340 | ||||||||||||||||
Rowe T Price Inti Funds Inc Africa and the Middle East Fund |
Registered investment company | 7,442 | ||||||||||||||||
Rowe T Price Intl Funds Emerging Markets Stock Fund |
Registered investment company | 99,902 | ||||||||||||||||
Rowe T Price Intl Fund European Stock Fund |
Registered investment company | 21,784 | ||||||||||||||||
Rowe T Price Intl Funds New Asia |
Registered investment company | 32,015 | ||||||||||||||||
RoweT Price Mid-Cap Growth Fund |
Registered investment company | 36,198 | ||||||||||||||||
Rowe T Price Pers Strategy Funds |
Registered investment company | 1,281 | ||||||||||||||||
Rowe T Price Small Cap Fund |
Registered investment company | 15,959 | ||||||||||||||||
Rowe T Price Spectrum Fund Inc Intl Fund |
Registered investment company | 319,399 | ||||||||||||||||
Rowe T Price Spectrum Fund Inc Open End Fund |
Registered investment company | 460,519 | ||||||||||||||||
Rowe T Price Value Fund |
Registered investment company | 14,533 | ||||||||||||||||
Royce Fund Dividend Value |
Registered investment company | 32,566 | ||||||||||||||||
Royce Fund Heritage Fund |
Registered investment company | 80,214 | ||||||||||||||||
Royce Fund Low Priced Stock Fund |
Registered investment company | 39,982 | ||||||||||||||||
Royce Fund Opportunity Fund |
Registered investment company | 1,139 | ||||||||||||||||
Royce Fund Pa Mut Fund |
Registered investment company | 34,779 | ||||||||||||||||
Royce Fund Premier Fund Invt CL |
Registered investment company | 57,406 | ||||||||||||||||
Royce Fund Premier Fund Svs CL |
Registered investment company | 7,895 | ||||||||||||||||
Royce Fund Spl Equity Fund |
Registered investment company | 22,913 | ||||||||||||||||
Royce Fund Total Return Fund |
Registered investment company | 74,498 | ||||||||||||||||
Royce Fund Total Return Fund Svc CL |
Registered investment company | 12,696 | ||||||||||||||||
Royce Fund Value Fund |
Registered investment company | 28,386 | ||||||||||||||||
Royce Fund Value Plus Fund |
Registered investment company | 44,895 | ||||||||||||||||
RS Invt Fltg Rate Fund CL A |
Registered investment company | 16,915 | ||||||||||||||||
RS Invt Tr Global Nat Res Fund |
Registered investment company | 85,614 | ||||||||||||||||
RS Invt Tr Partners Fund |
Registered investment company | 5,518 | ||||||||||||||||
RS Invt Tr Select Growth Fund CL A |
Registered investment company | 4,928 | ||||||||||||||||
RS Invt Tr Technology Fund |
Registered investment company | 39,049 | ||||||||||||||||
Rydex Service Funds Biotechnology Fund |
Registered investment company | 36,680 | ||||||||||||||||
Rydex Ser Funds S&P Midcap 400 Pure Growth CL H |
Registered investment company | 94,725 | ||||||||||||||||
Rydex Service Tr URSA Fund |
Registered investment company | 224,009 | ||||||||||||||||
Salient MF Tr MLP & Energy Infrastructure Fund |
Registered investment company | 66,761 | ||||||||||||||||
Sands Cap Select Growth Fund CL Z |
Registered investment company | 112,200 | ||||||||||||||||
Saturna Invt Tr Sextant Intl Fund |
Registered investment company | 16,966 | ||||||||||||||||
* |
Schwab Cap Tr Ast Dir Balanced Growth Fund |
Registered investment company | 2,969 | |||||||||||||||
* |
Schwab CRP Tr Balanced Fund Inv Shs |
Registered investment company | 1,229 | |||||||||||||||
* |
Schwab Cap Tr Core Equity Fund |
Registered investment company | 67,383 | |||||||||||||||
* |
Schwab Cap Tr Dividend Equity Fund |
Registered investment company | 236,670 | |||||||||||||||
* |
Schwab Cap Tr Finl Svcs Fund |
Registered investment company | 6,594 | |||||||||||||||
* |
Schwab Cap Tr Fundamental US Large Co Index Fund |
Registered investment company | 121,286 | |||||||||||||||
* |
Schwab Cap Tr Fundamental Intl Small Co Index |
Registered investment company | 20,414 | |||||||||||||||
* |
Schwab Cap Tr Fundamental US Small Co Index |
Registered investment company | 6,600 | |||||||||||||||
* |
Schwab Cap Tr Health Care Fund |
Registered investment company | 104,571 | |||||||||||||||
* |
Schwab Cap Tr Hedged Equity Fund |
Registered investment company | 10,832 | |||||||||||||||
* |
Schwab Cap Tr Intl Index Fund |
Registered investment company | 101,127 | |||||||||||||||
* |
Schwab Cap Tr Large Cap Growth Fund |
Registered investment company | 26,549 | |||||||||||||||
* |
Scbwab Cap Tr Laudus Intl Market Masters Fund |
Registered investment company | 159,303 | |||||||||||||||
* |
Scbwab Cap Tr Small Cap Equity |
Registered investment company | 9,903 | |||||||||||||||
* |
Scbwab Cap Tr S&P 500 Index Fund |
Registered investment company | 864,244 | |||||||||||||||
* |
Schwab Cap Tr Target 2030 Fund |
Registered investment company | 18,582 | |||||||||||||||
* |
Schwab Cap Tr Target 2035 Fund |
Registered investment company | 3,667 | |||||||||||||||
* |
Schwab Cap Tr Turget 2040 Fund |
Registered investment company | 82,965 | |||||||||||||||
* |
Schwab Charles Family Funds Inv Money Fund |
Registered investment company | 9,040 | |||||||||||||||
* |
Schwab Family Fund Money Market Fund |
Registered investment company | 3,902,352 | |||||||||||||||
* |
Schwab Fund Emerging Markets Index |
Registered investment company | 22,578 | |||||||||||||||
* |
Schwab Funds International Core Equity |
Registered investment company | 33,296 | |||||||||||||||
* |
Schwab Govt Sec Fund |
Registered investment company | 93,550 | |||||||||||||||
* |
Schwab Invts Global Real Estate Fund |
Registered investment company | 49,763 | |||||||||||||||
* |
Schwab Invts 1000 Index Fund |
Registered investment company | 260,316 | |||||||||||||||
* |
Schwab Small Cap Index Select |
Registered investment company | 99,403 | |||||||||||||||
* |
Schwab Invts Treas Inflation Protection Secs Fund |
Registered investment company | 19,791 | |||||||||||||||
* |
Schwab Total Bond Mkt Index Fund |
Registered investment company | 11,432 | |||||||||||||||
* |
Schwab Total Stock Market Index Fund |
Registered investment company | 550,608 | |||||||||||||||
Scout Funds Mid Cap Fund |
Registered investment company | 293,388 |
22
401(k) Savings and Profit Sharing Plan for Employees of NIKE, Inc.
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
May 31, 2014
(a) | (b) | (c) | (c) | (c) | (c) | (d) | (e) | |||||||||||
Rate | Date of | |||||||||||||||||
Identity of Issue, Borrower, | of | Maturity | Par | Current | ||||||||||||||
Lessor or Similar Party | Description of Investments | Interest | Year | Month | Value | Cost (1) | Value | |||||||||||
Scwartz Invt Tr Ave Maria Rising Dividend Fund |
Registered investment company | 27,466 | ||||||||||||||||
Selected Amer Sh Inc Cap Sik Fund |
Registered investment company | 289,807 | ||||||||||||||||
Sequoia Fund Inc Com |
Registered investment company | 121,348 | ||||||||||||||||
Short Nasdaq 100Inv |
Registered investment company | 28,844 | ||||||||||||||||
SIT Mutual Funds Inc Small Cap Growth Fund |
Registered investment company | 51,740 | ||||||||||||||||
Small Cap Fund |
Registered investment company | 113,157 | ||||||||||||||||
Small Cap World Fund CL F-1 |
Registered investment company | 50,219 | ||||||||||||||||
Sound Shore Fund Inc |
Registered investment company | 15,546 | ||||||||||||||||
Spartan Extd Mkt Index Fund |
Registered investment company | 24,911 | ||||||||||||||||
SSGA Emerging Mkt Fund |
Registered investment company | 21,914 | ||||||||||||||||
SSGA International Stock Selection Fund |
Registered investment company | 38,065 | ||||||||||||||||
Sterling Cap Funds Sterling Capital Equity Income Fund CL A |
Registered investment company | 16,586 | ||||||||||||||||
Sunamerica Focused Ser Inc Dividend Strategy |
Registered investment company | 41,060 | ||||||||||||||||
T Rowe Price Cap Appreciation Fund |
Registered investment company | 272,626 | ||||||||||||||||
T Rowe Price Finl Svcs Fund |
Registered investment company | 5,350 | ||||||||||||||||
T Rowe Price Global Real Estate Fund |
Registered investment company | 16,587 | ||||||||||||||||
TCW Funds Inc Emerging Markets Inc Fund |
Registered investment company | 17,259 | ||||||||||||||||
TCW Funds Inc Formerly TCW Galileo Emerging Markets |
Registered investment company | 31,310 | ||||||||||||||||
TCW Galileo Funds Inc Dividend Focused Fund |
Registered investment company | 20,188 | ||||||||||||||||
TCW Galileo Funds Inc Select Equities Fund |
Registered investment company | 42,270 | ||||||||||||||||
TCW Galileo Funds Inc Small Cap Growth Fund |
Registered investment company | 6,620 | ||||||||||||||||
TCW Galileo Funds Inc Total Return Bond Fund |
Registered investment company | 101,388 | ||||||||||||||||
TCW Total Return Bond Fund CL 1 |
Registered investment company | 114,408 | ||||||||||||||||
Templeton Income Tr Global Bond Fund |
Registered investment company | 55,800 | ||||||||||||||||
Templeton Tr Global Bond Fund |
Registered investment company | 162,572 | ||||||||||||||||
Teton Westwood Equity Fund Mighty Mites |
Registered investment company | 60,885 | ||||||||||||||||
TFS Cap Invt Tr Market Neutral Fund |
Registered investment company | 16,660 | ||||||||||||||||
Third Avenue Tr Real Estate Value Fund |
Registered investment company | 65,392 | ||||||||||||||||
Third AvenueTr Value Tr Fund |
Registered investment company | 70,314 | ||||||||||||||||
Thomas White Intl Fund |
Registered investment company | 27,366 | ||||||||||||||||
Thornburg Intl Value Fund |
Registered investment company | 62,942 | ||||||||||||||||
TIAA-CREF Mutual Fund |
Registered investment company | 5,925 | ||||||||||||||||
TIAA-CREF Mutual Funds Growth & Income |
Registered investment company | 2,808 | ||||||||||||||||
Tocqueville Gold Fund |
Registered investment company | 75,184 | ||||||||||||||||
Tocqueville Tr Delafield Fund |
Registered investment company | 714 | ||||||||||||||||
Tocqueville Tr Fund |
Registered investment company | 29,942 | ||||||||||||||||
Touchstone Tr Mid Cap Fund CL Z |
Registered investment company | 5,561 | ||||||||||||||||
Touchstone Tr Sands Cap Select Growth |
Registered investment company | 209,808 | ||||||||||||||||
Touchstone Strategic Tr Value Fund CL Y |
Registered investment company | 23,329 | ||||||||||||||||
Transamerica Diversified Equity |
Registered investment company | 78,392 | ||||||||||||||||
Trust for Professional Managers Jensen Quality Value Fund |
Registered investment company | 5,706 | ||||||||||||||||
Trust for Professional Managers Smead Value |
Registered investment company | 63,455 | ||||||||||||||||
Turner Funds Midcap Fund |
Registered investment company | 70,392 | ||||||||||||||||
Turner Funds Small Cap Growth Fund |
Registered investment company | 3,949 | ||||||||||||||||
Tweedy Browne Fund Inc Global Value Fund |
Registered investment company | 67,469 | ||||||||||||||||
US Global Accolade Funds Eastn European Fund |
Registered investment company | 12,723 | ||||||||||||||||
US Global Investors Funds |
Registered investment company | 13,898 | ||||||||||||||||
Ultra NASDAQ 100 |
Registered investment company | 5,058 | ||||||||||||||||
Ultra Short NASDAQ 100 |
Registered investment company | 44,820 | ||||||||||||||||
USGI Wold Precious Mineral Fund |
Registered investment company | 5,727 | ||||||||||||||||
Value Line Inc Fund |
Registered investment company | 10,607 | ||||||||||||||||
Value Line Small Cap |