x | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
o | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
UnitedHealth Group Center 9900 Bren Road East Minnetonka, Minnesota |
UnitedHealth Group 401(k) Savings Plan Employer ID No: 41-1321939 Plan Number: 001 Financial Statements as of December 31, 2013 and 2012, and for the Year Ended December 31, 2013, Supplemental Schedule as of December 31, 2013, and Independent Auditors’ Report |
UNITEDHEALTH GROUP 401(k) SAVINGS PLAN | ||
TABLE OF CONTENTS | ||
Page | ||
NOTE: | All other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable. |
/s/ DELOITTE & TOUCHE LLP |
UNITEDHEALTH GROUP 401(k) SAVINGS PLAN | ||||||||
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS | ||||||||
AS OF DECEMBER 31, 2013 AND 2012 | ||||||||
2013 | 2012 | |||||||
ASSETS: | ||||||||
Investments - at fair value: | ||||||||
Participant - directed investments | $ | 6,129,915,077 | $ | 4,797,068,721 | ||||
Receivables: | ||||||||
Notes receivable from participants | 185,223,182 | 155,284,353 | ||||||
NET ASSETS AVAILABLE FOR BENEFITS AT FAIR VALUE | 6,315,138,259 | 4,952,353,074 | ||||||
ADJUSTMENTS FROM FAIR VALUE TO CONTRACT VALUE OF FULLY BENEFIT RESPONSIVE INVESTMENT CONTRACTS | (474,772 | ) | (9,167,703 | ) | ||||
NET ASSETS AVAILABLE FOR BENEFITS | $ | 6,314,663,487 | $ | 4,943,185,371 |
UNITEDHEALTH GROUP 401(k) SAVINGS PLAN | ||||
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS | ||||
FOR THE YEAR ENDED DECEMBER 31, 2013 | ||||
ADDITIONS: | ||||
Contributions: | ||||
Employee | $ | 471,273,327 | ||
Employer | 227,642,077 | |||
Rollover | 57,748,792 | |||
Total contributions | 756,664,196 | |||
Interest and dividends | 30,973,962 | |||
Net appreciation in fair value of investments | 991,572,907 | |||
Interest income on notes receivable from participants | 7,102,715 | |||
Total additions | 1,786,313,780 | |||
DEDUCTIONS: | ||||
Benefits paid to participants | (417,907,028 | ) | ||
Administrative expenses | (6,091,857 | ) | ||
Total deductions | (423,998,885 | ) | ||
INCREASE IN NET ASSETS BEFORE PLAN TRANSFERS | 1,362,314,895 | |||
NET TRANSFERS INTO THE PLAN (Note 9) | 9,163,221 | |||
INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS | 1,371,478,116 | |||
NET ASSETS AVAILABLE FOR BENEFITS: | ||||
Beginning of year | 4,943,185,371 | |||
End of year | $ | 6,314,663,487 |
UNITEDHEALTH GROUP 401(k) SAVINGS PLAN | |
NOTES TO FINANCIAL STATEMENTS | |
AS OF DECEMBER 31, 2013 AND 2012 AND FOR THE YEAR ENDED DECEMBER 31, 2013 |
1. | DESCRIPTION OF THE PLAN |
2. | SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES |
Common collective trust | $ | 455,266,364 | ||
Synthetic guaranteed investment contract | 5,456,094 | |||
Net appreciation in fair value of investments at estimated fair value | 460,722,458 | |||
Common stock | 157,673,582 | |||
Mutual funds | 370,840,595 | |||
Fixed-income securities | 2,336,272 | |||
Net appreciation in fair value of investments as determined by quoted market prices | 530,850,449 | |||
Net appreciation | $ | 991,572,907 |
2013 | 2012 | |||||||
Vanguard Institutional Index Fund | $ | 671,837,567 | $ | 487,726,786 | ||||
Wellington Mid-Cap Opportunities Fund | 435,963,655 | 313,088,740 | ||||||
American Europacific Growth Fund | 421,687,902 | 351,944,827 | ||||||
Wells Fargo DJ Target 2035 N | 388,713,094 | 276,095,951 | ||||||
Wells Fargo DJ Target 2030 N | 375,523,264 | 278,194,288 | ||||||
Wells Fargo DJ Target 2025 N | 346,293,264 | 262,185,385 | ||||||
Vanguard Mid-Cap Index Fund Institutional Plus | 322,523,152 | * | ||||||
* Investment represents less than 5% of the Plan's net assets in the year indicated. |
3. | FAIR VALUE MEASUREMENT |
Fair Value Measurements at December 31, 2013 | ||||||||||||
Quoted Prices in Active Markets (Level 1) | Other Observable Inputs (Level 2) | Total Fair Value | ||||||||||
Cash and cash equivalents | $ | 48,269,550 | $ | — | $ | 48,269,550 | ||||||
Fixed-income securities: | ||||||||||||
U.S. government and agencies | 16,147,972 | 110,997,400 | 127,145,372 | |||||||||
Corporate | — | 149,190,718 | 149,190,718 | |||||||||
Other | — | 19,834,740 | 19,834,740 | |||||||||
Total fixed-income securities | 16,147,972 | 280,022,858 | 296,170,830 | |||||||||
Mutual funds: | ||||||||||||
Large-cap funds | 677,855,133 | — | 677,855,133 | |||||||||
Mid-cap funds | 324,847,889 | — | 324,847,889 | |||||||||
Small-cap funds | 316,084,113 | — | 316,084,113 | |||||||||
Other fixed income | 5,095,554 | — | 5,095,554 | |||||||||
Balanced funds | 1,170,736 | — | 1,170,736 | |||||||||
International large-cap funds | 483,952,219 | — | 483,952,219 | |||||||||
Short-term funds | 563,137 | — | 563,137 | |||||||||
Equity funds | 3,474,796 | — | 3,474,796 | |||||||||
Total mutual funds | 1,813,043,577 | — | 1,813,043,577 | |||||||||
Common stock: | ||||||||||||
UnitedHealth Group Inc. | 163,357,401 | — | 163,357,401 | |||||||||
Other | 577,163,010 | — | 577,163,010 | |||||||||
Total common stock | 740,520,411 | — | 740,520,411 | |||||||||
Preferred stock | 310,792 | — | 310,792 | |||||||||
Common/collective trusts | — | 3,096,831,861 | 3,096,831,861 | |||||||||
Pooled separate accounts | — | 134,689,743 | 134,689,743 | |||||||||
GIC wrappers | — | 78,313 | 78,313 | |||||||||
Total | $ | 2,618,292,302 | $ | 3,511,622,775 | $ | 6,129,915,077 |
Fair Value Measurements at December 31, 2012 | ||||||||||||
Quoted Prices in Active Markets (Level 1) | Other Observable Inputs (Level 2) | Total Fair Value | ||||||||||
Cash and cash equivalents | $ | 23,475,179 | $ | — | $ | 23,475,179 | ||||||
Fixed-income securities: | ||||||||||||
U.S. government and agencies | 57,836,790 | 94,205,377 | 152,042,167 | |||||||||
Corporate | — | 143,991,389 | 143,991,389 | |||||||||
Other | — | 19,965,305 | 19,965,305 | |||||||||
Total fixed-income securities | 57,836,790 | 258,162,071 | 315,998,861 | |||||||||
Mutual funds: | ||||||||||||
Large-cap funds | 491,397,435 | — | 491,397,435 | |||||||||
Mid-cap funds | 223,563,240 | — | 223,563,240 | |||||||||
Small-cap funds | 211,970,085 | — | 211,970,085 | |||||||||
Other fixed income | 5,600,775 | — | 5,600,775 | |||||||||
Balanced funds | 473,686 | — | 473,686 | |||||||||
International large-cap funds | 402,667,408 | — | 402,667,408 | |||||||||
Short-term funds | 1,688,155 | — | 1,688,155 | |||||||||
Equity funds | 1,572,324 | — | 1,572,324 | |||||||||
Total mutual funds | 1,338,933,108 | — | 1,338,933,108 | |||||||||
Common stock: | ||||||||||||
UnitedHealth Group Inc. | 126,381,749 | — | 126,381,749 | |||||||||
Other | 206,077,265 | — | 206,077,265 | |||||||||
Total common stock | 332,459,014 | — | 332,459,014 | |||||||||
Preferred stock | 149,039 | — | 149,039 | |||||||||
Common/collective trusts | — | 2,374,445,762 | 2,374,445,762 | |||||||||
Pooled separate account | — | 134,111,602 | 134,111,602 | |||||||||
Synthetic GIC | 4,050,224 | 273,445,932 | 277,496,156 | |||||||||
Total | $ | 1,756,903,354 | $ | 3,040,165,367 | $ | 4,797,068,721 |
4. | FEDERAL INCOME TAX STATUS |
5. | RECONCILIATION TO THE FORM 5500 |
2013 | 2012 | |||||||
Net assets available for benefits per the financial statements | $ | 6,314,663,487 | $ | 4,943,185,371 | ||||
Deemed distributions of participant loans | (927,594 | ) | (834,486 | ) | ||||
Fair market value adjustment of investment contracts | 474,772 | 9,167,703 | ||||||
Net assets available for benefits per the Form 5500 | $ | 6,314,210,665 | $ | 4,951,518,588 |
Increase in net assets per the financial statements | $ | 1,371,478,116 | ||
Deemed distributions activity | (93,108 | ) | ||
Fair market value adjustment of investment contracts | (8,692,931 | ) | ||
Net income per the Form 5500 | $ | 1,362,692,077 |
6. | NET ASSET VALUE PER SHARE |
Investment | Fair Value (1) | Unfunded Commitment | Redemption Frequency | Other Redemption Restrictions (2) | Redemption Notice Period | |||||||||
December 31, 2013 | ||||||||||||||
Common/collective trust (3) | $ | 3,096,831,861 | $ | — | Immediate | Various | Various | |||||||
Total common/collective trust funds | $ | 3,096,831,861 | $ | — | ||||||||||
Investment | Fair Value (1) | Unfunded Commitment | Redemption Frequency | Other Redemption Restrictions (2) | Redemption Notice Period | |||||||||
December 31, 2012 | ||||||||||||||
Common/collective trust (3) | $ | 2,266,765,357 | $ | — | Immediate | Various | Various | |||||||
Stable value collective trust(4) | 107,680,405 | — | Immediate | Various | Various | |||||||||
Total common/collective trust funds | $ | 2,374,445,762 | $ | — |
(1) | The fair values of the investments are based on the fair values of the underlying investments in the funds. |
(2) | Certain events may cause funds held in the common/collective trust and stable value collective trust to be deferred, including, but not limited to, the following: |
(i) | Closing or disruption of the financial markets or exchanges in which a transaction is unable to be settled prudently. |
(ii) | An emergency situation in which the disposition of assets would be seriously prejudicial to Plan participants. |
(iii) | Breakdown in the means of communication normally employed to determine fair market value of an investment. |
(iv) | Investments cannot be effected at normal rates of exchange. |
(3) | The funds in the common/collective trusts employ a variety of investment strategies, including, but not limited to, long‑term capital growth, short-term growth and income. |
(4) | The stable value collective trust calculates its NAV based on the contract value of the fund and on the fair value based on the underlying assets in the fund. All transactions with the stable value are at the NAV at contract value. As of December 31, 2012, the NAV at contract value and fair value were $86.10 and $87.62, respectively. |
7. | EXEMPT PARTY-IN-INTEREST TRANSACTIONS |
8. | WRAPPER CONTRACTS |
Underlying Investments at Fair Value | Wrapper Contracts at Fair Value | Total Investments at Fair Value | Total Investments at Contract Value | |||||||||||||
Monumental Life Insurance Company | $ | 140,852,870 | $ | 78,313 | $ | 140,931,183 | $ | 141,114,552 | ||||||||
Pacific Life Insurance Company | 49,518,200 | — | 49,518,200 | 49,512,879 | ||||||||||||
Prudential Life Insurance Company | 112,515,437 | — | 112,515,437 | 112,736,726 | ||||||||||||
New York Life Insurance Company | 60,567,819 | — | 60,567,819 | 60,274,482 | ||||||||||||
Metropolitan Life Insurance Company | 134,689,743 | — | 134,689,743 | 134,108,971 | ||||||||||||
Total | $ | 498,144,069 | $ | 78,313 | $ | 498,222,382 | $ | 497,747,610 |
Underlying Investments at Fair Value | Wrapper Contracts at Fair Value | Total Investments at Fair Value | Total Investments at Contract Value | |||||||||||||
Bank of America | $ | 50,954,841 | $ | 36,964 | $ | 50,991,805 | $ | 49,889,440 | ||||||||
NATIXIS | 48,267,371 | 35,001 | 48,302,372 | 47,239,559 | ||||||||||||
Monumental Life Insurance Company | 128,358,751 | 29,870 | 128,388,621 | 125,980,499 | ||||||||||||
Pacific Life Insurance Company | 49,777,277 | 36,081 | 49,813,358 | 48,696,836 | ||||||||||||
Metropolitan Life Insurance Company | 134,111,602 | — | 134,111,602 | 132,068,296 | ||||||||||||
Total | $ | 411,469,842 | $ | 137,916 | $ | 411,607,758 | $ | 403,874,630 |
9. | PLAN TRANSFERS |
10. | SUBSEQUENT EVENTS |
UNITEDHEALTH GROUP 401(k) SAVINGS PLAN | |||||||
(EIN 41-1321939, Plan #001) | |||||||
FORM 5500, SCHEDULE H, Part IV, LINE 4i — SCHEDULE OF ASSETS (HELD AT END OF YEAR) | |||||||
AS OF DECEMBER 31, 2013 | |||||||
Current Value | |||||||
COMMON/COLLECTIVE TRUST FUNDS: | |||||||
Wellington Mid-Cap Opportunities Fund | $ | 435,963,655 | |||||
Wells Fargo DJ Target 2035 N* | 388,713,094 | ||||||
Wells Fargo DJ Target 2030 N* | 375,523,264 | ||||||
Wells Fargo DJ Target 2025 N* | 346,293,264 | ||||||
Wells Fargo DJ Target 2040 N* | 310,524,499 | ||||||
Wells Fargo DJ Target 2020 N* | 254,250,548 | ||||||
Wells Fargo DJ Target 2045 N* | 216,155,297 | ||||||
Wells Fargo Fixed Income Fund F | 182,707,180 | ||||||
Wells Fargo DJ Target 2015 N* | 137,451,654 | ||||||
Wells Fargo DJ Target 2050 N* | 105,647,931 | ||||||
Wells Fargo Fixed Income Fund L | 64,012,248 | ||||||
Wells Fargo Fixed Income Fund Q | 60,567,819 | ||||||
Wells Fargo Fixed Income Fund N | 56,167,079 | ||||||
Wells Fargo Short Term Investment Fund* | 49,109,046 | ||||||
Wells Fargo DJ Target 2010 N* | 35,670,749 | ||||||
SSgA Bond Index Non-Lending Series Fund | 29,401,623 | ||||||
SSgA Global Equity Ex-US Index Fund | 15,456,084 | ||||||
Northern Trust Treasury Inflation | 13,673,648 | ||||||
Wells Fargo DJ Target Today N* | 10,082,903 | ||||||
Wells Fargo DJ Target 2055 N* | 9,460,276 | ||||||
Total common/collective trust funds | 3,096,831,861 | ||||||
MUTUAL FUNDS: | |||||||
Vanguard Institutional Index Fund | 671,837,567 | ||||||
American Europacific Growth Fund | 421,687,902 | ||||||
Vanguard Mid-Cap Index Fund Plus | 322,523,152 | ||||||
Vanguard Small-Cap Index Fund Plus | 314,090,725 | ||||||
Aberdeen Emerging Markets Instl Fund | 30,042,883 | ||||||
PIMCO All Asset Fund Instl Class | 27,344,372 | ||||||
Vanguard Prime Money Market Institutional | 4,663 | ||||||
Total mutual funds | 1,787,531,264 | ||||||
POOLED SEPARATE ACCOUNTS: | |||||||
MetLife Separate Account #690 | 67,381,769 | ||||||
MetLife Separate Account #695 | 67,307,974 | ||||||
Total pooled separate accounts | 134,689,743 | ||||||
Rate | |||||||
SYNTHETIC INVESTMENT CONTRACTS - Wrappers at fair value: | |||||||
Monumental Life Insurance Company | 1.55 | % | $ | 78,313 | |||
Total Wrappers | $ | 78,313 | |||||
(Continued) |
Current Value | ||||
COMMON STOCK: | ||||
UnitedHealth Group* | $ | 163,357,401 | ||
Johnson & Johnson | 8,474,273 | |||
Google Inc Cl A | 7,948,075 | |||
United Technologies Corp | 7,904,662 | |||
Apple Inc | 7,298,919 | |||
Exxon Mobil Corp | 6,618,986 | |||
Wells Fargo & Co | 6,384,330 | |||
Microsoft Corp | 6,083,498 | |||
Bank Of America Corporation | 5,851,689 | |||
Citigroup Inc | 5,469,466 | |||
Ashland Inc | 5,375,046 | |||
Bristol-Myers Squibb Co | 5,033,518 | |||
World Fuel Services Corp | 4,822,267 | |||
Home Depot Inc | 4,779,096 | |||
Paccar Inc | 4,727,506 | |||
Schlumberger Ltd | 4,700,138 | |||
Interactive Brokers Group Inc | 4,554,014 | |||
Comcast Corp Cl A | 4,373,738 | |||
Visa Inc Cl A | 4,332,239 | |||
Biogen Idec Inc | 4,195,131 | |||
Nasdaq Omx Group | 4,125,270 | |||
Mrc Global Inc | 4,056,050 | |||
Blucora Inc | 3,962,844 | |||
Wesco International Inc | 3,892,332 | |||
Celgene Corp | 3,796,193 | |||
Time Warner Inc | 3,774,850 | |||
Mondelez International Inc | 3,680,660 | |||
Jarden Corp | 3,659,527 | |||
Reinsurance Group Of America | 3,655,300 | |||
Emerson Electric Co | 3,602,761 | |||
Morgan Stanley | 3,586,831 | |||
Philip Morris Intl Inc | 3,561,090 | |||
Chevron Corp | 3,510,970 | |||
Qualcomm Inc | 3,489,527 | |||
Cisco Systems Inc | 3,474,003 | |||
Fluor Corp | 3,424,931 | |||
Multi Color Co. | 3,420,829 | |||
Amazon.Com Inc | 3,411,250 | |||
Dxp Enterprises Inc | 3,325,824 | |||
(Continued) |
Current Value | ||||
COMMON STOCK (Continued): | ||||
Chicos Fas Inc | $ | 3,324,506 | ||
Rovi Corporation | 3,287,836 | |||
Encore Cap Group Inc | 3,279,968 | |||
Medivation Inc | 3,262,478 | |||
Air Methods Corp | 3,259,480 | |||
CSX Corp | 3,221,665 | |||
Procter & Gamble Co | 3,164,895 | |||
Cvs Caremark Corp | 3,122,170 | |||
Lam Research Corp | 3,034,281 | |||
Oracle Corp | 3,034,095 | |||
Pepsico Inc | 2,975,555 | |||
Lowes Cos Inc | 2,911,310 | |||
Monsanto Co New | 2,903,144 | |||
Honeywell Intl Inc | 2,886,561 | |||
General Motors Co | 2,866,785 | |||
Tjx Companies Inc New | 2,828,529 | |||
Web.Com Group Inc | 2,807,057 | |||
Tupperware Brands Corp | 2,806,596 | |||
Manpowergroup Inc | 2,805,905 | |||
Avago Technologies Ltd | 2,768,210 | |||
Jones Lang Lasalle Inc | 2,763,711 | |||
Metlife Inc | 2,750,891 | |||
Ptc Inc | 2,750,511 | |||
Wns Hldgs Ltd Sp Adr | 2,740,941 | |||
Ebay Inc | 2,732,973 | |||
Union Pacific Corp | 2,730,504 | |||
Coca Cola Co | 2,719,561 | |||
Intercontinentalexchnge Gr Inc | 2,689,593 | |||
Verizon Communications Inc | 2,670,513 | |||
Jazz Pharma Plc | 2,657,760 | |||
General Mills Inc | 2,637,045 | |||
Nxp Semiconductors Nv | 2,585,859 | |||
Johnson Controls Inc | 2,573,978 | |||
Freeport Mcmoran Copper & Gold | 2,571,641 | |||
Nextera Energy | 2,521,252 | |||
Capital One Financial Corp | 2,506,220 | |||
Service Corp International Inc | 2,499,583 | |||
Ace Ltd | 2,457,492 | |||
Genesee & Wyoming Inc Cl A | 2,395,487 | |||
Actavis Plc | 2,365,440 | |||
Springleaf Holdings Inc | 2,365,197 | |||
CBS Corp Cl B | 2,286,354 | |||
Hanmi Financial Corporation | 2,284,090 | |||
Alexion Pharmaceuticals Inc | 2,254,036 | |||
Baxter Intl Inc | 2,246,048 | |||
Exlservice Holdings Inc | 2,229,210 | |||
Regal-Beloit Corp | 2,207,914 | |||
V F Corp | 2,207,085 | |||
Hanger Inc | 2,171,961 | |||
Fxcm Inc Class A | 2,157,213 | |||
(Continued) |
Current Value | ||||
COMMON STOCK (Continued): | ||||
Mckesson Corp | $ | 2,145,813 | ||
Halliburton Co | 2,115,412 | |||
Simon Ppty Group Inc - Reit | 2,115,176 | |||
Alcoa Inc | 2,113,924 | |||
Salix Pharmaceuticals Ltd | 2,097,401 | |||
Adobe Systems Inc | 2,087,297 | |||
Cdw Corporation | 2,077,638 | |||
Sinclair Broadcast Group Cl A | 2,019,817 | |||
Darling Intl Inc | 1,989,029 | |||
State Street Corp | 1,985,200 | |||
Tcf Financial Corporation | 1,982,987 | |||
Vertex Pharmaceuticals Inc | 1,969,247 | |||
Heartland Payment Systems In | 1,968,182 | |||
Invensense Inc | 1,956,437 | |||
Anadarko Petroleum Corp | 1,950,003 | |||
Select Comfort Corp | 1,918,979 | |||
Costco Wholesale Corp | 1,910,349 | |||
Global Payments Inc | 1,893,809 | |||
Humana Inc | 1,873,649 | |||
Mentor Graphics Corp | 1,868,554 | |||
Tempur Sealy International Inc | 1,842,734 | |||
First Cash Financial Srvs Inc | 1,839,740 | |||
Forum Energy Technologies Inc | 1,825,031 | |||
Evertec Inc | 1,817,442 | |||
Accenture Plc Cl A | 1,804,482 | |||
Marsh & Mclennan Cos Inc | 1,795,220 | |||
Priceline.Com Inc | 1,779,634 | |||
Phillips 66 | 1,767,665 | |||
Papa Johns Intl Inc | 1,763,336 | |||
Marathon Petroleum Corp | 1,748,924 | |||
Total Sys Svcs Inc | 1,734,554 | |||
Cognizant Tech Solutions Cl A | 1,733,322 | |||
Ncr Corp | 1,724,798 | |||
Cubist Pharmaceuticals Inc | 1,716,929 | |||
Dish Network Corp A | 1,704,180 | |||
Fti Consulting Inc | 1,695,791 | |||
Dennys Corp | 1,681,734 | |||
Time Warner Cable | 1,671,799 | |||
Vera Bradley Inc | 1,661,164 | |||
Jack In The Box Inc | 1,653,161 | |||
Bruker Corp | 1,645,259 | |||
Firstmerit Corp | 1,597,448 | |||
Marathon Oil Corp | 1,584,688 | |||
Monolithic Power Sys Inc | 1,582,576 | |||
Redwood Trust Inc Reit | 1,578,074 | |||
Performant Financial Corp | 1,566,733 | |||
East West Bancorp Inc | 1,565,677 | |||
Virtusa Corp | 1,556,738 | |||
Autozone Inc | 1,549,959 | |||
American Electric Power Co Inc | 1,539,148 | |||
(Continued) |
Current Value | ||||
COMMON STOCK (Continued): | ||||
WW Grainger Inc | $ | 1,523,069 | ||
Raymond James Financial Inc. | 1,520,817 | |||
Eaton Corp Plc | 1,509,231 | |||
Francesca's Holdings Corp | 1,507,779 | |||
Williams Companies Inc | 1,499,177 | |||
Spx Corp | 1,492,755 | |||
Dun & Bradstreet Corp Del New | 1,482,820 | |||
World Acceptance Corp | 1,478,382 | |||
Azz Inc | 1,464,823 | |||
Innospec Inc | 1,463,325 | |||
Ensco Plc Cl A | 1,456,603 | |||
Sempra Energy | 1,454,471 | |||
Ball Corp | 1,432,015 | |||
Synageva Biopharma Corp | 1,427,076 | |||
Yum Brands Inc | 1,423,888 | |||
Invesco Ltd | 1,419,564 | |||
Genpact Ltd | 1,416,327 | |||
Hms Holdings Corp | 1,409,033 | |||
Masco Corporation | 1,398,420 | |||
Gildan Activewear Inc (US) | 1,391,391 | |||
Haemonetics Corp Mass | 1,374,702 | |||
Progress Software Corp | 1,362,016 | |||
Helen Of Troy Ltd | 1,361,525 | |||
Nisource Inc | 1,329,306 | |||
Kar Auction Services Inc | 1,288,971 | |||
Sunopta Inc | 1,286,285 | |||
Cinemark Holdings Inc | 1,260,874 | |||
Hibbett Sports Inc | 1,240,024 | |||
Air Products & Chemicals Inc | 1,229,468 | |||
Teradyne Inc | 1,218,071 | |||
M/A-Com Tech Soln Hldgs Inc | 1,212,236 | |||
Clicksoftware Technologies Ltd | 1,206,750 | |||
Vitamin Shoppe Inc | 1,202,991 | |||
Citrix Systems Inc | 1,190,428 | |||
Carlisle Cos Inc | 1,184,648 | |||
United States Steel Corp | 1,168,967 | |||
Callidus Software Inc | 1,134,647 | |||
Core-Mark Holding Co Inc | 1,116,930 | |||
Blount Intl Inc | 1,103,916 | |||
Occidental Petroleum Corp | 1,075,866 | |||
Alliance Data Systems Corp | 1,073,543 | |||
Bbcn Bancorp Inc | 1,064,912 | |||
Boston Private Finl Hldg Inc | 1,060,963 | |||
Teleflex Inc | 1,055,925 | |||
Pdf Solutions Inc | 1,042,734 | |||
Lululemon Athletica Inc | 1,039,695 | |||
Brinker International Inc | 1,027,821 | |||
Steven Madden Ltd | 1,021,410 | |||
Vmware Inc Cl A | 995,960 | |||
Boston Properties Inc | 993,061 | |||
(Continued) |
Current Value | ||||
COMMON STOCK (Continued): | ||||
Constellation Software Inc | $ | 974,304 | ||
Cerner Corp | 970,879 | |||
DTE Energy Co | 969,360 | |||
Coty Inc Cl A | 964,257 | |||
Maximus Inc | 960,302 | |||
Eqt Corporation | 950,501 | |||
Equity Lifestyle Pptys Inc | 942,705 | |||
Cheniere Energy Inc | 931,392 | |||
Hartford Finl Svcs Group Inc | 927,053 | |||
SS&C Technologies Holdings Inc | 919,280 | |||
Cempra Inc | 912,028 | |||
Svb Finl Group | 905,571 | |||
Allergan Inc | 902,969 | |||
Nice Systems Ltd Spon Adr | 892,928 | |||
Ezcorp Inc Cl A Non Vtg | 891,362 | |||
Avery Dennison Corp | 880,834 | |||
Innerworkings Inc | 875,051 | |||
City National Corp | 865,082 | |||
Kla Tencor Corp | 862,668 | |||
Moneygram International Inc | 837,434 | |||
Everbank Financial Corp | 816,313 | |||
Express Inc | 813,265 | |||
Celldex Therapeutics Inc | 809,824 | |||
Broadridge Financial Sol | 803,837 | |||
Rock Tenn Company Cl A | 802,276 | |||
Trimas Corp | 798,598 | |||
American International Group | 791,275 | |||
Luxfer Hldgs Plc Spons Adr | 790,594 | |||
Ezchip Semiconductor Ltd | 787,520 | |||
Furmanite Corp | 785,370 | |||
Emcor Group Inc | 780,896 | |||
Universal Health Svcs Inc Cl B | 776,033 | |||
Bio Rad Labs Cl A | 773,799 | |||
Nexstar Broadcasting Grp Inc A | 766,845 | |||
Zions Bancorp | 764,459 | |||
Hilltop Hldgs I | 764,446 | |||
Fiesta Restaurant Group Inc | 758,002 | |||
Engility Holdings Inc | 737,472 | |||
Cash America International Inc | 718,508 | |||
Royal Caribbean Cruises Ltd | 695,557 | |||
Qep Resources Inc | 692,935 | |||
Unisys Corp New | 691,542 | |||
Chemtura Corp New | 690,462 | |||
Universal Truckload Svcs Inc | 690,441 | |||
G-III Apparel Group Ltd | 686,247 | |||
Stancorp Finl Group Inc | 684,362 | |||
Third Point Reinsurance Ltd | 669,341 | |||
Gnc Holdings Inc | 668,668 | |||
Ingredion Inc | 668,170 | |||
(Continued) |
Current Value | |||
COMMON STOCK (Continued): | |||
Quinstreet Inc | $ 662,526 | ||
United Community Banks Ga | 656,040 | ||
Move Inc | 644,397 | ||
Eaton Vance Corp Non Vtg | 637,143 | ||
Rockwood Holdings Inc | 632,177 | ||
Toll Brothers Inc | 632,034 | ||
Brunswick Corp | 630,561 | ||
Hewlett-Packard Co | 625,801 | ||
Laredo Petroleum Inc | 619,425 | ||
Mettler-Toledo Intl Inc | 617,149 | ||
Endo Health Solutions Inc | 614,561 | ||
Western Alliance Bancorp | 602,704 | ||
Portfolio Recovery Assoc Inc | 593,922 | ||
Signet Jewelers Ltd (US) | 582,380 | ||
Jamba Inc | 575,161 | ||
Tilly's Inc | 573,759 | ||
Einstein Noah Restaurant Inc | 554,045 | ||
Genesco Inc | 549,411 | ||
Carriage Services Inc | 541,567 | ||
Graphic Packaging Holding Co | 536,640 | ||
Independent Bank Corp | 526,560 | ||
Cvb Financial Corp | 526,097 | ||
Lennar Corp Cl A | 525,515 | ||
Tenneco Inc | 519,313 | ||
Silgan Holdings Inc | 516,215 | ||
Sunesis Pharmaceuticals Inc | 499,549 | ||
Axiall Corp | 495,843 | ||
Regional Management Corp | 482,145 | ||
Armada Hoffler Properties Inc | 473,373 | ||
Linkedin Corp Cl A | 460,764 | ||
Virtus Investment Partners | 448,112 | ||
Pultegroup Inc | 443,435 | ||
Cytec Industries Inc | 429,468 | ||
E Trade Financial Corp | 426,974 | ||
Gfi Group Inc | 419,152 | ||
Steiner Leisure Ltd | 413,196 | ||
Hackett Group Inc | 402,222 | ||
Neurocrine Biosciences Inc | 384,715 | ||
Customers Bancorp Inc | 376,873 | ||
General Cable Corp Del | 368,213 | ||
Ingram Micro Inc Cl A | 361,988 | ||
Solazyme Inc | 355,667 | ||
Walter Invt Mgt | 332,631 | ||
Sp Plus Corp | 321,334 | ||
Bloomin Brands Inc | 319,573 | ||
Rent A Ctr Inc | 306,061 | ||
Freescale Semiconductor Ltd | 290,441 | ||
Mine Safety Appliances Co | 280,119 | ||
Cui Global Inc | 255,770 | ||
Epam Systems Inc | 255,761 | ||
(Continued) |
Current Value | ||||
COMMON STOCK (Continued): | ||||
Meadowbrook Insurance Group | $ | 251,952 | ||
Interval Leisure Group Inc | 250,908 | |||
Allegiant Travel Co | 240,403 | |||
Axis Capital Holdings Ltd | 237,850 | |||
Body Central Corp | 237,306 | |||
Cott Corporation (US) | 227,292 | |||
Bancorp Inc Del | 226,920 | |||
Independent Bank Group Inc | 226,450 | |||
Chefs Warehouse Inc | 223,366 | |||
Intralinks Hldgs Inc | 220,160 | |||
Chemical Financial Corp | 210,922 | |||
Comverse Inc | 199,044 | |||
Coresite Realty Corp | 196,681 | |||
Union First Market Bankshares | 184,338 | |||
Investors Bancorp Inc | 157,829 | |||
Csg Systems Intl Inc | 138,474 | |||
Houston Wire & Cable Co | 126,842 | |||
Bon-Ton Stores Inc | 89,703 | |||
Merchants Bancshares Inc | 72,025 | |||
Providence Service Corp | 60,185 | |||
Jth Holding Inc - Cl A | 59,535 | |||
Cytokinetics Inc | 55,900 | |||
Total common stock | 700,044,161 | |||
FIXED INCOME SECURITIES: | ||||
USTN .125% 7/31/14 | 12,401,451 | |||
CA ST 7.55% 4/1/39 | 6,402,676 | |||
FHR 2013-4283 Ew Var 12/43 | 6,013,834 | |||
FNMA 20Yr 4.5% 10/33 #Al4165 | 5,533,695 | |||
FHLG 15Yr 4.00% 10/26 #G14585 | 5,425,395 | |||
FNR 2013-10 Fa Var 02/43 | 5,047,851 | |||
FNMA 6.00% 3/34 #725229 | 4,428,840 | |||
FHLG 30Yr 4.5% 3/1/42 #G07491 | 4,385,869 | |||
Aol Time Warner 7.7% 5/01/32 | 4,354,462 | |||
FHLG 30Yr 4.5% 09/41#G07515 | 4,205,604 | |||
Ally Finl Inc 4.5% 2/14 | 4,190,656 | |||
Xerox Corp 6.35% 5/15/18 | 4,169,650 | |||
FNMA 7.00% 3/37 #888369 | 4,059,748 | |||
Petrobras Intl 5.375% 1/27/21 | 4,019,171 | |||
FNMA 15Yr 5.50% 5/23 #889527 | 3,959,781 | |||
Verizon Comm 5.15% 09/15/23 | 3,832,404 | |||
Cox Com Inc 9.375 1/15/19 144A | 3,653,037 | |||
HCA Inc 6.5% 2/15/16 | 3,644,375 | |||
FHLG 5.50% 1/40 #G07074 | 3,580,846 | |||
FNMA Arm 9/43#Al4098 | 3,555,972 | |||
Bank Of Amer Mtn 7.625 6/1/19 | 3,447,895 | |||
FHLG 30Yr 4.5% 07/41#G07504 | 3,430,805 | |||
FNMA 5.50% 6/33 #555531 | 3,377,343 | |||
Bac Cap Tr Xi 6.625% 5/23/36 | 3,357,619 | |||
(Continued) |
Current Value | ||||
FIXED INCOME SECURITIES (Continued): | ||||
USTN 0.375% 02/15/2016 | $ | 3,246,951 | ||
Chait 2012-A8 A8 0.54% 10/17 | 3,195,108 | |||
FNMA 15Yr 5.50% 10/23 #995405 | 3,166,248 | |||
Citigroup Cap Xiii 7.875% Pfd | 3,141,925 | |||
Dow Chemical 8.55% 5/19 | 3,128,233 | |||
Boston Scientific 6.4% 6/15/16 | 3,094,658 | |||
FNR 2005-87 Fb 1Ml+50 10/35 | 3,091,638 | |||
Time Warner Cab 8.75% 2/14/19 | 3,053,378 | |||
Wellpoint Inc 7% 2/15/19 | 3,016,917 | |||
FHLG 30Yr 5.5% 05/38#G07404 | 2,774,908 | |||
Boston Prp Ltd 5.625% 11/15/20 | 2,753,099 | |||
FNMA 20Yr 4.00% 12/30 #Ma0587 | 2,745,350 | |||
Ford Mtr Cr Llc 5.75% 2/01/21 | 2,716,647 | |||
Verizon Comm Inc 6.55% 9/15/43 | 2,711,131 | |||
FNMA 20Yr 4.5% 01/32#Al4549 | 2,672,731 | |||
NJ TPK 7.102% 01/01/41 | 2,610,552 | |||
Capital One 3.5% 6/23 Wi | 2,609,123 | |||
Rbs Gpr Plc 6.125% 12/15/22 | 2,576,929 | |||
Burlington North San 4.1% 6/21 | 2,564,840 | |||
FNMA 15Yr 5.50% 3/24 #Ae0467 | 2,497,451 | |||
IL ST 5.665 03/01/18 | 2,422,981 | |||
Comcast Corp 6.3% 11/15/17 | 2,404,003 | |||
Union Pac 07-3 6.176% 1/2/31 | 2,389,700 | |||
LA CA USD 6.758% 07/01/34 | 2,335,366 | |||
SLMA 2012-B A2 3.48% 12/30 | 2,304,653 | |||
Telecom Italia Cap 7.175% 6/19 | 2,273,062 | |||
GE Cap Mtn 5.5% 1/08/20 | 2,259,287 | |||
FHLG 20Yr 4% 10/31 #C91402 | 2,250,217 | |||
FNR 2010-123 Wt 7% 11/40 | 2,225,739 | |||
Hsbc Hldgs 6.5% 5/02/36 | 2,096,350 | |||
FHLG 6.00% 11/36 #G02385 | 2,054,642 | |||
Cigna 8.5% 5/01/19 | 2,017,579 | |||
Lafarge Sa 6.5% 7/15/16 | 2,016,625 | |||
FNMA 15Yr 4.5% 09/28#Al4147 | 1,983,308 | |||
Lafarge Sa 5.5% 7/09/15 144A | 1,961,000 | |||
FHR 13-4240 Fa 1Ml+50 08/43 | 1,936,152 | |||
Vulcan Material 7.5% 6/15/21 | 1,852,500 | |||
FNMA 7-Yr 4.84% 11/15 #745100 | 1,812,857 | |||
FHLG 5.50% 12/39 #G06020 | 1,808,398 | |||
FNMA Arm 4.84% 9/35 #Al2084 | 1,804,742 | |||
Time Warner Mtn 8.25% 4/1/19 | 1,768,973 | |||
Exp-Imp Bank Korea 4% 1/11/17 | 1,721,510 | |||
Sprint Nextel 6% 12/01/16 | 1,663,089 | |||
FNMA 15Yr 4.00% 2/27 #Al2689 | 1,659,746 | |||
BNSF Railway Co 5.996% 4/01/24 | 1,651,146 | |||
Legg Mason Inc Step 5/21/19 | 1,639,996 | |||
Spain Govt 4.0% 3/6/18 144A | 1,626,400 | |||
Cemex Sab 6.5% 12/10/2019 144A | 1,601,150 | |||
SLM Corp Mtn 6% 1/25/17 | 1,596,687 | |||
Hsbc Hldgs 6.5% 9/15/37 | 1,562,372 | |||
(Continued) |
Current Value | ||||
FIXED INCOME SECURITIES (Continued): | ||||
FHLG 5.50% 2/40 #G06945 | $ | 1,553,021 | ||
Reed Elsevie 3.125% 10/22 Wi | 1,522,561 | |||
IL ST 5.365 3/01/17 | 1,519,350 | |||
HCA Inc 5.75% 3/15/14 | 1,513,500 | |||
Jp Morgan Chase 3.375% 5/23 | 1,512,058 | |||
FNR 2008-16 Ab 5.5% 12/37 | 1,494,928 | |||
Hewlett 3.3% 12/09/16 | 1,465,166 | |||
Citigroup Inc 6.125% 11/21/17 | 1,397,668 | |||
IL ST 4.971 3/01/16 | 1,383,837 | |||
FHLG 15Yr 4% 12/26#G14668 | 1,380,999 | |||
May Dept Stores 6.9% 1/15/32 | 1,369,970 | |||
FHLG 5.50% 10/38 #G05979 | 1,345,442 | |||
Dow Chemical 9.4% 5/39 | 1,340,698 | |||
Cigna Corp 7.875% 5/15/27 | 1,334,521 | |||
Cox Comm Inc 3.25 12/15/22 144 | 1,332,626 | |||
Myriad Int Hldgs 6% 7/20 144A | 1,269,000 | |||
Fed Dept St 6.9% 4/01/29 | 1,248,257 | |||
Ford Mtr Cr Llc 5.875% 8/2/21 | 1,247,080 | |||
FNMA Arm 5.51% 8/38 #Al0376 | 1,222,821 | |||
Telecom Itali 6.999% 6/4/18 | 1,162,875 | |||
Nordstrom Inc Glb 6.25 1/18 | 1,156,420 | |||
May Dept Str Glbl 6.65 7/15/24 | 1,153,661 | |||
FNMA 6.00% 9/37 #945680 | 1,129,341 | |||
FHLG 5.50% 1/35 #G01749 | 1,095,850 | |||
FHLG 15Yr 4.0% 12/1/26 #G14678 | 1,094,391 | |||
FNMA 5.50% 6/40 #Ae0607 | 1,056,575 | |||
FNMA Arm 5.26% 9/38 #965097 | 1,050,625 | |||
FNMA 15Yr 5.16% 1/18 #745629 | 1,047,963 | |||
CA ST 7.5% 4/1/34 | 1,039,834 | |||
Ford Mtr Cr Llc 4.375% 8/6/23 | 1,028,850 | |||
FHLM Arm 5.42% 3/38 #1Q1114 | 964,054 | |||
General Elec 4.375% 9/16/20 | 920,117 | |||
News Amer Inc 6.65% 11/37 | 901,924 | |||
FNMA Arm 6/1/39 #Al1845 | 880,787 | |||
Erp Operat Lp 4.625% 12/15/21 | 868,607 | |||
Healthnet Inc 6.375% 6/1/17 | 862,000 | |||
Ford Mtr Cr Llc 5.625% 9/15/15 | 860,480 | |||
Xerox Corp 4.5% 5/15/21 | 848,074 | |||
SLM Corp Medium 3.875% 9/10/15 | 827,000 | |||
Enel Spa Step 9/24/73 144A | 815,525 | |||
Time Warner Cab 6.75% 6/15/39 | 798,257 | |||
Enel Fin Intl 6% 10/7/39 144A | 793,704 | |||
Citigroup Inc 4.05% 7/30/22 | 789,922 | |||
Enel Fin Intl6.8% 9/15/37 144A | 749,384 | |||
Time Warner Cab Inc 5.5% 9/41 | 743,516 | |||
AIG Intl 4.25% 9/15/14 | 691,872 | |||
Macys Retail Hldgs 7% 2/15/28 | 679,542 | |||
Rbs Plc 6.125% 1/11/21 | 678,311 | |||
Turlock Corp 2.75% 11/02/22 | 675,251 | |||
Comcast Corp 6.95% 8/15/37 | 674,105 | |||
(Continued) |
Current Value | ||||
FIXED INCOME SECURITIES (Continued): | ||||
FHLG 6.00% 5/37 #G02987 | $ | 666,624 | ||
General Elec Cap 4.625% 1/7/21 | 653,461 | |||
SLM Corp 6.25% 1/25/16 | 648,000 | |||
Boston Pptys Lp 3.8% 02/01/24 | 646,204 | |||
Petrobras Bv 4.375% 05/20/2023 | 642,713 | |||
Erp Oper Lp 3% 4/15/23 | 638,157 | |||
Jpmorgan Chase 4.95% 3/25/20 | 636,987 | |||
News America Inc 6.2% 12/15/34 | 634,698 | |||
FHLG 6.00% 11/37 #G06571 | 613,390 | |||
FHLG 6.00% 10/37 #G03392 | 594,044 | |||
Hsbc Holdings Plc 5.1% 4/05/21 | 555,026 | |||
FNMA Arm 5.36% 10/38 #995006 | 528,472 | |||
Ford Mtr Cr Llc 4.25% 9/20/22 | 526,631 | |||
Capital One Fin 4.75% 7/15/21 | 504,433 | |||
USTN .25% 9/15/15 | 499,570 | |||
NJ TPK 7.414% 01/01/40 | 493,744 | |||
Royal Bk Sc 6% 12/19/23 | 478,382 | |||
HCA Inc 6.375% 1/15/15 | 472,500 | |||
Cigna 4% 2/15/22 | 457,411 | |||
Reed Elsevier C 8.625% 1/15/19 | 457,384 | |||
Telecom Itali 7.2% 7/18/36 | 457,188 | |||
Vulcan Material 6.5% 12/01/16 | 420,000 | |||
FNMA 6.00% 3/40 #Ae0616 | 350,183 | |||
Royal Bk Of Scot Mtn5.625 8/20 | 335,471 | |||
FHLG 6.00% 2/39 #G06570 | 314,428 | |||
Eaton Corp 1.5% 11/02/17 | 293,974 | |||
FHLG 6.00% 12/37 #G03698 | 288,572 | |||
Cox Commun Inc 2.95% 6/23 144A | 283,529 | |||
FHLG 6.00% 1/39 #G06932 | 276,968 | |||
Federated Rtl 6.375% 3/15/37 | 194,711 | |||
FNMA 6.50% 8/39 #Ad0130 | 176,498 | |||
FHLG 6.00% 5/38 #G08271 | 143,391 | |||
FHLG 6.50% 2/38 #H09152 | 88,353 | |||
FNMA 6.50% 10/37 #256937 | 66,954 | |||
FNMA 10Yr 6.50% 12/37 #Ad0070 | 65,785 | |||
FHLG 6.50% 8/36 #H01579 | 17,231 | |||
Total fixed income securities | 296,160,413 | |||
OTHER INVESTMENTS: | ||||
Cash/cash equivalents | 48,269,550 | |||
Self managed brokerage account (less cash and cash equivalents) | 66,309,772 | |||
Participant loans (interest ranging from 3.25% to 10.50% and maturity dates ranging from January 2014 - December 2031) | 184,295,588 | |||
Total other investments | 298,874,910 | |||
TOTAL INVESTMENTS | $ | 6,314,210,665 | ||
* Known party in-interest | ||||
(Concluded) |
UNITEDHEALTH GROUP 401(K) SAVINGS PLAN | |||
By:UNITEDHEALTH GROUP INCORPORATED, the Plan Administrator | |||
Dated: June 18, 2014 | By: | /s/ Eric S. Rangen | |
Eric S. Rangen Senior Vice President and Chief Accounting Officer |