þ | 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 |
A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
Page | ||||
1 | ||||
FINANCIAL STATEMENTS: |
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2 | ||||
3 | ||||
4 | ||||
16 |
NOTE: | Other schedules required by Section 2520.103-10 of the Department of Labors Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable. |
- 1 -
(in thousands) | 2010 | 2009 | ||||||
ASSETS: |
||||||||
Investments: |
||||||||
Mutual funds |
$ | 1,366,100 | $ | 838,804 | ||||
Separately managed funds |
730,514 | 462,413 | ||||||
Stable value fund |
328,857 | 219,013 | ||||||
Dell Stock Fund |
122,859 | 147,020 | ||||||
Common collective trust |
284,819 | 116,516 | ||||||
Short-term investment funds |
13,081 | 2,001 | ||||||
Total investments |
2,846,230 | 1,785,767 | ||||||
Receivables: |
||||||||
Participant loans |
69,862 | 56,076 | ||||||
Employer contributions |
9,785 | 6,576 | ||||||
Interest income |
669 | 498 | ||||||
Due from broker unsettled trades |
343 | 1,029 | ||||||
Total receivables |
80,659 | 64,179 | ||||||
Total assets |
2,926,889 | 1,849,946 | ||||||
LIABILITIES: |
||||||||
Administrative expenses payable |
1,959 | 963 | ||||||
Due to broker |
205 | 54 | ||||||
Total liabilities |
2,164 | 1,017 | ||||||
NET ASSETS AVAILABLE FOR BENEFITS AT FAIR VALUE |
2,924,725 | 1,848,929 | ||||||
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE
FOR FULLY BENEFIT-RESPONSIVE STABLE VALUE FUND |
(400 | ) | 4,493 | |||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ | 2,924,325 | $ | 1,853,422 | ||||
- 2 -
(in thousands) |
||||
ADDITIONS: |
||||
Contributions: |
||||
Employee |
$ | 208,834 | ||
Employer |
130,854 | |||
Employee rollovers |
12,530 | |||
Total contributions |
352,218 | |||
Investment income: |
||||
Interest and dividends |
43,338 | |||
Net appreciation in fair value of investments |
167,012 | |||
Total investment income |
210,350 | |||
Interest on participant loans |
2,928 | |||
Total additions |
565,496 | |||
DEDUCTIONS: |
||||
Benefits paid to participants |
150,993 | |||
Administrative expenses |
3,515 | |||
Total deductions |
154,508 | |||
INCREASE IN NET ASSETS |
410,988 | |||
TRANSFER FROM PEROT SYSTEMS CORPORATION
RETIREMENT SAVINGS PLAN |
659,915 | |||
NET ASSETS AVAILABLE FOR BENEFITS: |
||||
Beginning of year |
1,853,422 | |||
End of year |
$ | 2,924,325 | ||
- 3 -
- 4 -
- 5 -
- 6 -
- 7 -
- 8 -
December 31, 2010 | ||||||||||||||||
Level 1 | Level 2 | Level 3 | ||||||||||||||
Quoted | ||||||||||||||||
Prices in | ||||||||||||||||
Active | Significant | |||||||||||||||
Markets for | Other | Significant | ||||||||||||||
Identical | Observable | Unobservable | ||||||||||||||
Assets | Inputs | Inputs | Total | |||||||||||||
(in thousands) | ||||||||||||||||
Mutual funds: |
||||||||||||||||
Fixed income funds |
$ | | $ | 345,558 | $ | | $ | 345,558 | ||||||||
Domestic equity funds |
| 517,658 | | 517,658 | ||||||||||||
International equity funds |
| 502,884 | | 502,884 | ||||||||||||
Total mutual funds |
| 1,366,100 | | 1,366,100 | ||||||||||||
Separately managed funds: |
||||||||||||||||
Mutual funds fixed income |
| 84,844 | | 84,844 | ||||||||||||
Short-term investment funds |
36,938 | | | 36,938 | ||||||||||||
Common stock: |
||||||||||||||||
Consumer discretionary |
99,387 | | | 99,387 | ||||||||||||
Energy |
61,576 | | | 61,576 | ||||||||||||
Financial services |
101,758 | | | 101,758 | ||||||||||||
Health care |
110,203 | | | 110,203 | ||||||||||||
Materials & processing |
46,200 | | | 46,200 | ||||||||||||
Producer durables |
30,885 | | | 30,885 | ||||||||||||
Technology |
130,345 | | | 130,345 | ||||||||||||
Other |
28,378 | | | 28,378 | ||||||||||||
Total common stock |
608,732 | | | 608,732 | ||||||||||||
Total separately managed funds |
645,670 | 84,844 | | 730,514 | ||||||||||||
Stable value fund: |
||||||||||||||||
Fixed income funds |
| 291,192 | | 291,192 | ||||||||||||
Short-term investment funds |
37,178 | | | 37,178 | ||||||||||||
Synthetic contract wrappers |
| 487 | | 487 | ||||||||||||
Total stable value fund |
37,178 | 291,679 | | 328,857 | ||||||||||||
Dell Stock Fund |
122,859 | | | 122,859 | ||||||||||||
Domestic equity common collective trust |
| 284,819 | | 284,819 | ||||||||||||
Short-term investment funds |
13,081 | | | 13,081 | ||||||||||||
Total assets measured at fair value |
$ | 818,788 | $ | 2,027,442 | $ | | $ | 2,846,230 | ||||||||
- 9 -
December 31, 2009 | ||||||||||||||||
Level 1 | Level 2 | Level 3 | ||||||||||||||
Quoted | ||||||||||||||||
Prices in | ||||||||||||||||
Active | Significant | |||||||||||||||
Markets for | Other | Significant | ||||||||||||||
Identical | Observable | Unobservable | ||||||||||||||
Assets | Inputs | Inputs | Total | |||||||||||||
(in thousands) | ||||||||||||||||
Mutual funds: |
||||||||||||||||
Fixed income funds |
$ | | $ | 216,840 | $ | | $ | 216,840 | ||||||||
Domestic equity funds |
| 290,859 | | 290,859 | ||||||||||||
International equity funds |
| 331,105 | | 331,105 | ||||||||||||
Total mutual funds |
| 838,804 | | 838,804 | ||||||||||||
Separately managed funds: |
||||||||||||||||
Mutual funds fixed income |
| 62,897 | | 62,897 | ||||||||||||
Short-term investment funds |
18,710 | | | 18,710 | ||||||||||||
Common stock: |
||||||||||||||||
Consumer discretionary |
61,445 | | | 61,445 | ||||||||||||
Energy |
36,611 | | | 36,611 | ||||||||||||
Financial services |
52,112 | | | 52,112 | ||||||||||||
Health care |
82,033 | | | 82,033 | ||||||||||||
Materials & processing |
36,145 | | | 36,145 | ||||||||||||
Producer durables |
15,620 | | | 15,620 | ||||||||||||
Technology |
82,776 | | | 82,776 | ||||||||||||
Other |
14,064 | | | 14,064 | ||||||||||||
Total common stock |
380,806 | | | 380,806 | ||||||||||||
Total separately managed funds |
399,516 | 62,897 | | 462,413 | ||||||||||||
Stable value fund: |
||||||||||||||||
Fixed income funds |
| 204,880 | | 204,880 | ||||||||||||
Short-term investment funds |
13,756 | | | 13,756 | ||||||||||||
Synthetic contract wrappers |
| 377 | | 377 | ||||||||||||
Total stable value fund |
13,756 | 205,257 | | 219,013 | ||||||||||||
Dell Stock Fund |
147,020 | | | 147,020 | ||||||||||||
Domestic equity common collective trust |
| 116,516 | | 116,516 | ||||||||||||
Short-term investment funds |
2,001 | | | 2,001 | ||||||||||||
Total assets measured at fair value |
$ | 562,293 | $ | 1,223,474 | $ | | $ | 1,785,767 | ||||||||
- 10 -
Mutual funds
|
Consists of registered investment companies investments valued at their net asset value, which can be market corroborated. | |
Separately managed funds
|
Consists of various common stocks and mutual funds. The values of the separately managed funds may be market corroborated as their underlying investments are the following: stocks, Level 1, are valued at the closing price reported on the active market on which the security is traded; and mutual funds, Level 2, are valued at their net asset value, which can be market corroborated. | |
Stable value fund
|
Consists of cash and fixed income investment funds wrapped with insurance contracts. The fixed income investment funds are valued at their net asset value, and the fair value of the wrapped insurance contracts is determined using a discounted cash flow model with inputs derived from observable market data. The valuation of the wrapped insurance contracts is not significant to the overall valuation of the Fund. There are no redemption restrictions on the Plans investment in the Stable Value Fund. | |
Dell Stock Fund
|
Dell stock is valued at the closing price reported on the active market. | |
Common collective trust
|
The Plans investment in common collective trusts primarily consists of the BlackRock Equity Index Fund which is valued by the issuer of the fund and can be market corroborated. The BlackRock Equity Index Fund seeks to match the performance of the S&P 500 Index and there are no redemption restrictions on the Plans investment in this fund. | |
Short-term investment funds
|
Consists of money market funds that are valued at fair value, which approximates cost. The valuations of these securities are based on quoted prices in active markets for identical assets. |
- 11 -
2010 | 2009 | |||||||
(in thousands) | ||||||||
Mutual funds: |
||||||||
American Euro Pacific Growth Fund |
$ | 397,760 | $ | 256,038 | ||||
PIMCO Total Return Fund |
345,558 | 216,840 | ||||||
American Growth Fund |
283,096 | 143,882 | ||||||
Neuberger Berman Genesis Fund |
234,562 | 146,977 | ||||||
Separately managed funds: |
||||||||
Dell Inc. 401(k) Dodge & Cox Large Cap Value Fund |
270,250 | 175,151 | ||||||
Dell Inc. 401(k) Dodge & Cox Balanced Fund |
262,407 | 194,836 | ||||||
Dell Inc. 401(k) Times Square Small/Mid Cap Growth Fund |
197,857 | 92,427 | * | |||||
Dwight Stable Value Fund |
328,857 | 219,013 | ||||||
** Dell Stock Fund |
122,859 | * | 147,020 | |||||
Common collective trust: |
||||||||
BlackRock Equity Index Fund |
284,819 | 116,516 |
* | Amount is less than 5% as of December 31 but is presented for comparitive purposes | |
** | Party-in-interest |
2010 | ||||
(in thousands) | ||||
Mutual funds |
$ | 84,728 | ||
Separately managed funds common stock |
66,008 | |||
Stable value fund |
148 | |||
Dell Stock Fund |
(6,602 | ) | ||
Common collective trust |
22,730 | |||
Total net change in fair value of investments |
$ | 167,012 | ||
- 12 -
| A failure of the Plan or its trust to qualify for exemption from federal income taxes or any required prohibited transaction exemption under ERISA | ||
| Any communication given to Plan participants designed to influence a participant not to invest in the Dwight Fund or to transfer assets out of the Dwight Fund |
- 13 -
| Any transfer of assets from the Dwight Fund directly into a competing investment option | ||
| The establishment of a defined contribution plan that competes with the Plan for employee contributions | ||
| Complete or partial termination of the Plan or its merger with another plan |
- 14 -
2010 | 2009 | |||||||
(in thousands) | ||||||||
Net assets available for benefits per the financial statements |
$ | 2,924,325 | $ | 1,853,422 | ||||
Adjustment from contract value to fair value for fully
benefit-responsive stable value fund |
400 | (4,493 | ) | |||||
Net assets available for benefits per Form 5500 |
$ | 2,924,725 | $ | 1,848,929 | ||||
2010 | ||||
(in thousands) | ||||
Increase in net assets available for benefits per financial statements |
$ | 410,988 | ||
Add: Reversal of prior year adjustment from contract value to fair
value for fully benefit-responsive stable value fund |
4,493 | |||
Add: Current year adjustment from contract value to fair value for fully
benefit-responsive stable value fund |
400 | |||
Net income per Form 5500 |
$ | 415,881 | ||
- 15 -
Number | (e) Current | |||||||||||||||
(a) | (b) Identity of Issue | (c) Description | of shares | (d) Cost** | Value | |||||||||||
Dell Inc. Common Stock |
||||||||||||||||
* | Dell Stock Fund |
Company Stock, $0.01 par value | 9,067 | $ | 122,859 | |||||||||||
Short-Term Investment Fund: |
||||||||||||||||
Dreyfus Govt Cash Mgmt Fund |
Short-Term Investment | $ | 13,081 | |||||||||||||
Mutual Funds: |
||||||||||||||||
Neuberger Berman Genesis Fund |
Registered Investment Fund | 5,104 | $ | 234,562 | ||||||||||||
American Euro Pacific Growth Fund |
Registered Investment Fund | 9,629 | 397,760 | |||||||||||||
Dodge & Cox International Stock Fund |
Registered Investment Fund | 2,944 | 105,124 | |||||||||||||
PIMCO Total Return Fund |
Registered Investment Fund | 31,759 | 345,558 | |||||||||||||
American Growth Fund |
Registered Investment Fund | 9,315 | 283,096 | |||||||||||||
Total Mutual Funds |
$ | 1,366,100 | ||||||||||||||
Separately Managed Funds: |
||||||||||||||||
Dell Inc. 401(k) Dodge & Cox Balanced Fund |
||||||||||||||||
DREYFUS GOVT CASH MGMT FUND |
Short-Term Investment | $ | 10,811 | |||||||||||||
AEGON NV |
Common Stock | 145 | 889 | |||||||||||||
AMGEN INC |
Common Stock | 77 | 4,211 | |||||||||||||
AOL INC |
Common Stock | 33 | 779 | |||||||||||||
BAKER HUGHES INC |
Common Stock | 54 | 3,099 | |||||||||||||
BANK OF NEW YORK MELLON CORP |
Common Stock | 124 | 3,745 | |||||||||||||
BB&T CORP |
Common Stock | 50 | 1,315 | |||||||||||||
BMC SOFTWARE INC |
Common Stock | 31 | 1,461 | |||||||||||||
BOSTON SCIENTIFIC CORP |
Common Stock | 262 | 1,983 | |||||||||||||
CADENCE DESIGN SYSTEMS INC |
Common Stock | 64 | 526 | |||||||||||||
CAPITAL ONE FINANCIAL CORP |
Common Stock | 119 | 5,065 | |||||||||||||
CAREFUSION CORP |
Common Stock | 50 | 1,279 | |||||||||||||
CARMAX INC |
Common Stock | 30 | 966 | |||||||||||||
CEMEX S.A.B. DE C.V. ADR |
Common Stock | 55 | 591 | |||||||||||||
CHARLES SCHWAB CORP/THE |
Common Stock | 109 | 1,865 | |||||||||||||
CHEVRON CORP |
Common Stock | 38 | 3,503 | |||||||||||||
COMCAST CORP |
Common Stock | 286 | 6,288 | |||||||||||||
COMPUTER SCIENCES CORP |
Common Stock | 33 | 1,652 | |||||||||||||
COMPUWARE CORP COM |
Common Stock | 76 | 887 | |||||||||||||
COVIDIEN PLC SHS |
Common Stock | 22 | 985 | |||||||||||||
CREDIT SUISSE GROUP ADR |
Common Stock | 9 | 348 | |||||||||||||
DIAGEO PLC ADR |
Common Stock | 11 | 780 | |||||||||||||
DIRECTV |
Common Stock | 7 | 272 | |||||||||||||
DISH NETWORK CORP |
Common Stock | 30 | 580 | |||||||||||||
DODGE & COX INCOME FUND COM NPV |
Mutual Fund | 6,413 | 84,844 | |||||||||||||
DOMTAR CORP |
Common Stock | 1 | 95 | |||||||||||||
DOW CHEMICAL CO |
Common Stock | 98 | 3,346 | |||||||||||||
DUN & BRADSTREET CORP |
Common Stock | 6 | 476 | |||||||||||||
EATON CORP |
Common Stock | 2 | 193 | |||||||||||||
EBAY INC |
Common Stock | 110 | 3,061 | |||||||||||||
ELECTRONIC ARTS INC |
Common Stock | 117 | 1,916 | |||||||||||||
FEDEX CORP |
Common Stock | 47 | 4,371 | |||||||||||||
GENERAL ELECTRIC CO. |
Common Stock | 303 | 5,542 | |||||||||||||
GENWORTH FINANCIAL INC |
Common Stock | 48 | 627 | |||||||||||||
GILEAD SCIENCES INC |
Common Stock | 12 | 417 | |||||||||||||
GLAXOSMITHKLINE PLC ADR |
Common Stock | 84 | 3,275 | |||||||||||||
GOLDMAN SACHS GROUP INC/THE |
Common Stock | 6 | 925 |
- 16 -
Number | (e) Current | |||||||||||||||
(a) | (b) Identity of Issue | (c) Description | of shares | (d) Cost** | Value | |||||||||||
HEWLETT-PACKARD CO |
Common Stock | 175 | $ | 7,368 | ||||||||||||
HOME DEPOT INC |
Common Stock | 76 | 2,665 | |||||||||||||
HSBC HLDGS ADR |
Common Stock | 16 | 837 | |||||||||||||
INTERPUBLIC GROUP COMPANIES INC |
Common Stock | 90 | 956 | |||||||||||||
LEGG MASON INC |
Common Stock | 20 | 725 | |||||||||||||
LIBERTY GLOBAL INC COM STK SERIES C |
Common Stock | 7 | 241 | |||||||||||||
LIBERTY GLOBAL INC COM STK SERA |
Common Stock | 7 | 237 | |||||||||||||
LIBERTY MEDIA CORP |
Common Stock | 103 | 1,624 | |||||||||||||
LOEWS CORP COM |
Common Stock | 17 | 665 | |||||||||||||
MACYS INC |
Common Stock | 8 | 196 | |||||||||||||
MAXIM INTEGRATED PRODUCTS |
Common Stock | 90 | 2,126 | |||||||||||||
MCGRAW-HILL COS INC/THE |
Common Stock | 14 | 499 | |||||||||||||
MEDTRONIC INC |
Common Stock | 26 | 964 | |||||||||||||
MERCK & CO INC |
Common Stock | 147 | 5,297 | |||||||||||||
MOLEX INC CLASSAN.VTG |
Common Stock | 7 | 168 | |||||||||||||
MOLEX INC |
Common Stock | 52 | 974 | |||||||||||||
MOTOROLA INC |
Common Stock | 482 | 4,375 | |||||||||||||
NEWS CORP |
Common Stock | 300 | 4,365 | |||||||||||||
NOKIA CORP ADR |
Common Stock | 105 | 1,085 | |||||||||||||
NOVARTIS AG ADR |
Common Stock | 67 | 3,920 | |||||||||||||
OCCIDENTAL PETROLEUM CORP |
Common Stock | 46 | 4,513 | |||||||||||||
PANASONIC CORP ADR |
Common Stock | 105 | 1,478 | |||||||||||||
PFIZER INC |
Common Stock | 250 | 4,378 | |||||||||||||
PITNEY BOWES INC |
Common Stock | 45 | 1,088 | |||||||||||||
ROYAL DUTCH SRELL ADR |
Common Stock | 12 | 801 | |||||||||||||
SANOFI-AVENTIS ADR |
Common Stock | 92 | 2,964 | |||||||||||||
SCHLUMBERGER LTD |
Common Stock | 68 | 5,678 | |||||||||||||
SLM CORP |
Common Stock | 50 | 627 | |||||||||||||
SONY CORP ADR |
Common Stock | 68 | 2,439 | |||||||||||||
SPRINT NEXTEL CORP |
Common Stock | 477 | 2,019 | |||||||||||||
SUNTRUST BANKS INC |
Common Stock | 28 | 832 | |||||||||||||
SYMANTEC CORP |
Common Stock | 155 | 2,595 | |||||||||||||
SYNOPSYS INC |
Common Stock | 47 | 1,251 | |||||||||||||
TELEFONAKTIEBOLAGET LM ERICSSO |
Common Stock | 100 | 1,153 | |||||||||||||
TIME WARNER CABLE INC |
Common Stock | 44 | 2,914 | |||||||||||||
TIME WARNER INC |
Common Stock | 131 | 4,219 | |||||||||||||
TRAVELERS COS INC/THE |
Common Stock | 26 | 1,432 | |||||||||||||
TYCO ELECTRONICS LTD |
Common Stock | 48 | 1,716 | |||||||||||||
TYCO INTERNATIONAL LTD. |
Common Stock | 29 | 1,201 | |||||||||||||
US BANCORP |
Common Stock | 35 | 944 | |||||||||||||
VODAFONE GROUP SPON ADR |
Common Stock | 106 | 2,788 | |||||||||||||
VULCAN MATERIALS CO |
Common Stock | 18 | 776 | |||||||||||||
WALGREEN CO |
Common Stock | 51 | 1,987 | |||||||||||||
WAL-MART STORES INC |
Common Stock | 33 | 1,753 | |||||||||||||
WELLS FARGO & CO |
Common Stock | 185 | 5,738 | |||||||||||||
XEROX CORP |
Common Stock | 249 | 2,868 | |||||||||||||
Total Dodge & Cox Balanced Fund |
$ | 262,407 | ||||||||||||||
Dodge & Cox Large Cap Value |
||||||||||||||||
Dreyfus Govt Cash Mgmt Fund |
Short-Term Investment | $ | 14,750 | |||||||||||||
AEGON NV |
Common Stock | 186 | 1,140 | |||||||||||||
AMGEN INC |
Common Stock | 120 | 6,588 | |||||||||||||
AOL INC |
Common Stock | 51 | 1,216 | |||||||||||||
BAKER HUGHES INC |
Common Stock | 76 | 4,322 |
- 17 -
Number | (e) Current | |||||||||||||||
(a) | (b) Identity of Issue | (c) Description | of shares | (d) Cost** | Value | |||||||||||
Dell Inc. 401(k) Dodge & Cox Large Cap Value |
||||||||||||||||
BANK OF NEW YORK MELLON CORP |
Common Stock | 189 | $ | 5,711 | ||||||||||||
BB&T CORP COM |
Common Stock | 60 | 1,577 | |||||||||||||
BMC SOFTWARE INC |
Common Stock | 48 | 2,263 | |||||||||||||
BOSTON SCIENTIFIC CORP |
Common Stock | 401 | 3,032 | |||||||||||||
CADENCE DESIGN SYSTEM S INC |
Common Stock | 99 | 814 | |||||||||||||
CAPITAL ONE FINANCIAL CORP |
Common Stock | 187 | 7,954 | |||||||||||||
CAREFUSION CORP |
Common Stock | 66 | 1,696 | |||||||||||||
CARMAX INC COM |
Common Stock | 38 | 1,202 | |||||||||||||
CEMEX S.A.B. DE C.V. ADR |
Common Stock | 78 | 840 | |||||||||||||
CHARLES SCHWAB CORP/THE |
Common Stock | 168 | 2,866 | |||||||||||||
CHEVRON CORP |
Common Stock | 62 | 5,619 | |||||||||||||
COMCAST CORP |
Common Stock | 447 | 9,821 | |||||||||||||
COMPUTER SCIENCES CORP |
Common Stock | 46 | 2,267 | |||||||||||||
COMPUWARE CORP |
Common Stock | 110 | 1,284 | |||||||||||||
COVIDIEN PLC SHS |
Common Stock | 34 | 1,543 | |||||||||||||
CREDIT SUISSE GROUP ADR |
Common Stock | 14 | 562 | |||||||||||||
DIAGEO ADR |
Common Stock | 14 | 1,041 | |||||||||||||
DIRECTV COM |
Common Stock | 8 | 331 | |||||||||||||
DISH NETWORK CORP |
Common Stock | 47 | 914 | |||||||||||||
DOMTAR CORP |
Common Stock | 4 | 304 | |||||||||||||
DOW CHEMICAL CO |
Common Stock | 152 | 5,179 | |||||||||||||
DUN & BRADSTREET CORP |
Common Stock | 10 | 796 | |||||||||||||
EATON CORP |
Common Stock | 2 | 193 | |||||||||||||
EBAY INC |
Common Stock | 171 | 4,745 | |||||||||||||
ELECTRONIC ARTS STK |
Common Stock | 166 | 2,719 | |||||||||||||
FEDEX CORP |
Common Stock | 71 | 6,604 | |||||||||||||
GENERAL ELECTRIC CO. |
Common Stock | 475 | 8,688 | |||||||||||||
GENWORTH FINANCIAL INC |
Common Stock | 66 | 863 | |||||||||||||
GILEAD SCIENCES INC |
Common Stock | 20 | 725 | |||||||||||||
GLAXOSMITHKLINE ADR |
Common Stock | 136 | 5,334 | |||||||||||||
GOLDMAN SACHS GROUP INC/THE |
Common Stock | 9 | 1,429 | |||||||||||||
HEWLETT-PACKARD CO |
Common Stock | 268 | 11,283 | |||||||||||||
HOME DEPOT INC |
Common Stock | 116 | 4,060 | |||||||||||||
HSBC HLDGS ADR |
Common Stock | 30 | 1,528 | |||||||||||||
INTERPUBLIC GROUP COMPANIES INC |
Common Stock | 125 | 1,332 | |||||||||||||
LEGG MASON INC |
Common Stock | 35 | 1,251 | |||||||||||||
LIBERTY GLOBAL INC SERIES C |
Common Stock | 9 | 301 | |||||||||||||
LIBERTY GLOBAL INC SERIES A |
Common Stock | 9 | 319 | |||||||||||||
LIBERTY MEDIA CORP |
Common Stock | 161 | 2,544 | |||||||||||||
LOEWS CORP |
Common Stock | 27 | 1,035 | |||||||||||||
MACYS INC |
Common Stock | 7 | 188 | |||||||||||||
MAXIM INTEGRATED PRODUCTS |
Common Stock | 141 | 3,330 | |||||||||||||
MCGRAW-HILL COS INC/THE |
Common Stock | 17 | 612 | |||||||||||||
MEDTRONIC INC |
Common Stock | 37 | 1,361 | |||||||||||||
MERCK & CO INC |
Common Stock | 233 | 8,397 | |||||||||||||
MOLEX INC |
Common Stock | 82 | 1,549 | |||||||||||||
MOTOROLA INC |
Common Stock | 734 | 6,659 | |||||||||||||
NEWS CORP |
Common Stock | 474 | 6,896 | |||||||||||||
NOKIA CORP ADR |
Common Stock | 162 | 1,671 | |||||||||||||
NOVARTIS AG ADR |
Common Stock | 106 | 6,249 | |||||||||||||
OCCIDENTAL PETROLEUM CORP |
Common Stock | 72 | 7,014 | |||||||||||||
PANASONIC CORP ADR |
Common Stock | 174 | 2,446 | |||||||||||||
PFIZER INC |
Common Stock | 384 | 6,717 | |||||||||||||
PITNEY BOWES INC |
Common Stock | 70 | 1,693 |
- 18 -
Number | (e) Current | |||||||||||||||
(a) | (b) Identity of Issue | (c) Description | of shares | (d) Cost** | Value | |||||||||||
ROYAL DUTCH SHELL ADR |
Common Stock | 18 | $ | 1,202 | ||||||||||||
SANOFI-AVENTIS ADR |
Common Stock | 145 | 4,677 | |||||||||||||
SCHLUMBERGER |
Common Stock | 103 | 8,600 | |||||||||||||
SLM CORP |
Common Stock | 109 | 1,373 | |||||||||||||
SONY CORP ADR |
Common Stock | 95 | 3,392 | |||||||||||||
SPRINT NEXTEL CORP |
Common Stock | 761 | 3,217 | |||||||||||||
SUNTRUST BANKS INC |
Common Stock | 45 | 1,325 | |||||||||||||
SYMANTEC CORP |
Common Stock | 255 | 4,269 | |||||||||||||
SYNOPSYS INC |
Common Stock | 84 | 2,268 | |||||||||||||
TELEFONAKTIEBOLAGET LM ERICSSO ADR |
Common Stock | 156 | 1,798 | |||||||||||||
TIME WARNER CABLE INC |
Common Stock | 67 | 4,422 | |||||||||||||
TIME WARNER INC |
Common Stock | 202 | 6,499 | |||||||||||||
TRAVELERS COS INC/THE |
Common Stock | 41 | 2,256 | |||||||||||||
TYCO ELECTRONICS LTD |
Common Stock | 77 | 2,726 | |||||||||||||
TYCO INTERNATIONAL LTD. |
Common Stock | 46 | 1,885 | |||||||||||||
US BANCORP DELAWARE |
Common Stock | 56 | 1,510 | |||||||||||||
VODAFONE GROUP SPON ADR |
Common Stock | 158 | 4,176 | |||||||||||||
VULCAN MATERIALS CO |
Common Stock | 28 | 1,222 | |||||||||||||
WALGREEN CO COM STK |
Common Stock | 79 | 3,070 | |||||||||||||
WAL-MART STORES INC |
Common Stock | 48 | 2,589 | |||||||||||||
WELLS FARGO & CO |
Common Stock | 254 | 7,856 | |||||||||||||
XEROX CORP |
Common Stock | 395 | 4,551 | |||||||||||||
Total Dell Inc. 401(k) Dodge & Cox Large Cap Value |
$ | 270,250 | ||||||||||||||
Dell Inc. 401(k) Times Square/Mid Cap Growth Fund |
||||||||||||||||
Dreyfus Govt Cash Mgmt. Fund |
Short-Term Investment | $ | 11,377 | |||||||||||||
ADVISORY BOARD INC |
Common Stock | 29 | 1,381 | |||||||||||||
AERCAP HOLDINGS N.V. |
Common Stock | 157 | 2,210 | |||||||||||||
ALLEGIANT TRAVEL CO |
Common Stock | 36 | 1,792 | |||||||||||||
ALLIANCE DATA SYSTEM |
Common Stock | 53 | 3,765 | |||||||||||||
ALTERA CORP |
Common Stock | 26 | 918 | |||||||||||||
AMDOCS ORD |
Common Stock | 71 | 1,950 | |||||||||||||
AMPHENOL CORP |
Common Stock | 36 | 1,884 | |||||||||||||
ANALOG DEVICES INC |
Common Stock | 56 | 2,113 | |||||||||||||
ARCH CAPITAL GROUP LTD |
Common Stock | 11 | 925 | |||||||||||||
ARCHIPELAGO LEARNING INC |
Common Stock | 48 | 467 | |||||||||||||
ATHEROS COMMUNICATIONS INC |
Common Stock | 57 | 2,058 | |||||||||||||
BALLY TECHNOLOGIES INC |
Common Stock | 43 | 1,818 | |||||||||||||
BIO RAD LABORATORIES INC |
Common Stock | 30 | 3,064 | |||||||||||||
BLACKBOARD INC |
Common Stock | 54 | 2,234 | |||||||||||||
BROOKDALE SENIOR LIVING INC |
Common Stock | 78 | 1,679 | |||||||||||||
BRUKER CORP |
Common Stock | 88 | 1,461 | |||||||||||||
CARLISLE COS INC |
Common Stock | 43 | 1,709 | |||||||||||||
CATALYST HEALTH SOLUTIONS INC. |
Common Stock | 44 | 2,036 | |||||||||||||
CEPHALON INC |
Common Stock | 31 | 1,913 | |||||||||||||
CLARCOR INC |
Common Stock | 27 | 1,158 | |||||||||||||
CLEAN HARBORS INC |
Common Stock | 26 | 2,144 | |||||||||||||
CLINICAL DATA INC |
Common Stock | 27 | 434 | |||||||||||||
CONCHO RESOURCES INC/MIDLAND TX |
Common Stock | 28 | 2,420 | |||||||||||||
CORE LABORATORIES NV |
Common Stock | 18 | 1,603 | |||||||||||||
COSTAR GROUP INC |
Common Stock | 40 | 2,314 | |||||||||||||
DAVITA INC |
Common Stock | 100 | 6,949 | |||||||||||||
DENBURY RESOURCES INC |
Common Stock | 98 | 1,871 | |||||||||||||
DISCOVERY COMMUNICATIONS INC |
Common Stock | 3 | 123 | |||||||||||||
DOLBY LABORATORIES INC |
Common Stock | 28 | 1,841 |
- 19 -
Number | (e) Current | |||||||||||||||
(a) | (b) Identity of Issue | (c) Description | of Shares | (d) Cost** | Value | |||||||||||
DRIL QUIP INC |
Common Stock | 23 | $ | 1,756 | ||||||||||||
DUPONT FABROS TECHNOLOGY INC |
Common Stock | 55 | 1,170 | |||||||||||||
EMERGENCY MEDICAL SERVICES L.P. |
Common Stock | 36 | 2,319 | |||||||||||||
FLETOR TECHNOLOGIES INC |
Common Stock | 24 | 727 | |||||||||||||
FLOWERS FOODS INC |
Common Stock | 40 | 1,076 | |||||||||||||
FULTON FINANCIAL CORP |
Common Stock | 21 | 215 | |||||||||||||
GARDNER DENVER INC |
Common Stock | 20 | 1,404 | |||||||||||||
GEN-PROBE INC |
Common Stock | 23 | 1,348 | |||||||||||||
GENTEX CORP |
Common Stock | 61 | 1,812 | |||||||||||||
GLACIER BANCORP COM STK |
Common Stock | 81 | 1,225 | |||||||||||||
GLOBAL PAYMENTS INC COM STK |
Common Stock | 87 | 4,030 | |||||||||||||
GRACO INC |
Common Stock | 45 | 1,756 | |||||||||||||
GRAND CANYON EDUCATION INC |
Common Stock | 72 | 1,410 | |||||||||||||
GEEN DOT CORP |
Common Stock | 29 | 1,651 | |||||||||||||
HAEMONETICS CORP |
Common Stock | 25 | 1,580 | |||||||||||||
HENRY JACK & ASSOCIATES INC COM STK |
Common Stock | 74 | 2,160 | |||||||||||||
HERBALIFE LTD |
Common Stock | 27 | 1,812 | |||||||||||||
HOLOGIC INC |
Common Stock | 79 | 1,487 | |||||||||||||
IHS INC |
Common Stock | 30 | 2,412 | |||||||||||||
INFORMATICA CORP |
Common Stock | 35 | 1,519 | |||||||||||||
JARDEN CORP |
Common Stock | 79 | 2,423 | |||||||||||||
KANSAS CITY SOUTHERN COM |
Common Stock | 56 | 2,680 | |||||||||||||
LAZARD LTD |
Common Stock | 78 | 3,080 | |||||||||||||
LAMAR ADVERTISING OC |
Common Stock | 50 | 1,992 | |||||||||||||
LINEAR TECHNOLOGY CORP |
Common Stock | 71 | 2,452 | |||||||||||||
MAGELLAN HEALTH SERVICES INC |
Common Stock | 32 | 1,513 | |||||||||||||
MANTECH INTERNATIONAL CORP |
Common Stock | 27 | 1,116 | |||||||||||||
MANITOWOC CO INC/THE |
Common Stock | 130 | 1,710 | |||||||||||||
MICROS SYSTEMS INC |
Common Stock | 15 | 662 | |||||||||||||
MOHAWK INDUSTRIES |
Common Stock | 32 | 1,788 | |||||||||||||
MONSTER WORLDWIDE INC |
Common Stock | 34 | 811 | |||||||||||||
MYRIAD GENETICS INC |
Common Stock | 63 | 1,439 | |||||||||||||
NASDAQ OMX GROUP INC/THE |
Common Stock | 80 | 1,906 | |||||||||||||
NATIONAL INSTRUMENTS CORP |
Common Stock | 39 | 1,483 | |||||||||||||
NETLOGIC MICROSYSTEMS INC |
Common Stock | 73 | 2,293 | |||||||||||||
NEUSTAR INC-CLASS |
Common Stock | 78 | 2,040 | |||||||||||||
NICE SYSTEMS ADR |
Common Stock | 59 | 2,042 | |||||||||||||
NORTHERN OIL AND GAS INC |
Common Stock | 22 | 596 | |||||||||||||
OCEANEERING INTERNATIONAL INC |
Common Stock | 26 | 1,914 | |||||||||||||
OIL STATES INTERNATIONAL INC |
Common Stock | 35 | 2,243 | |||||||||||||
ONYX PHARMACEUTICALS |
Common Stock | 52 | 1,917 | |||||||||||||
ORBITAL SCIENCES |
Common Stock | 105 | 1,799 | |||||||||||||
PROASSURANCE CORP |
Common Stock | 35 | 2,121 | |||||||||||||
QUICKSILVER RESOURCES INC |
Common Stock | 35 | 510 | |||||||||||||
RANGE RESOURCES CORP |
Common Stock | 28 | 1,264 | |||||||||||||
RED HAT |
Common Stock | 42 | 1,894 | |||||||||||||
REGAL-BELOIT CORP |
Common Stock | 10 | 688 | |||||||||||||
RENAISSANCE RE HLDGS |
Common Stock | 47 | 2,962 | |||||||||||||
RESMED INC |
Common Stock | 56 | 1,940 | |||||||||||||
RESOURCES CONNECTION INC |
Common Stock | 97 | 1,811 | |||||||||||||
SBA COMMUNICATIONS |
Common Stock | 116 | 4,753 | |||||||||||||
SPX CORP |
Common Stock | 20 | 1,401 | |||||||||||||
SIRONA DENTAL SYSTEMS INC |
Common Stock | 47 | 1,943 | |||||||||||||
SOLERA HOLDINGS INC |
Common Stock | 37 | 1,894 | |||||||||||||
SRA INTERNATIONAL INC |
Common Stock | 65 | 1,329 |
- 20 -
Number | (e) Current | |||||||||||||||
(a) | (b) Identity of Issue | (c) Description | of shares | (d) Cost** | Value | |||||||||||
STERICYCLE INC |
Common Stock | 4 | $ | 324 | ||||||||||||
STRAYER EDUCATION INC |
Common Stock | 5 | 761 | |||||||||||||
TALECRIS BIOTHERAPEUTICS HLDGS CORP |
Common Stock | 51 | 1,188 | |||||||||||||
TCF FINANCIAL CORP |
Common Stock | 93 | 1,379 | |||||||||||||
TERADYNE INC |
Common Stock | 119 | 1,671 | |||||||||||||
THOR INDUSTRIES INC |
Common Stock | 49 | 1,647 | |||||||||||||
TIFFANY & CO |
Common Stock | 23 | 1,432 | |||||||||||||
TRANSDIGM INC |
Common Stock | 36 | 2,556 | |||||||||||||
UNITED NATURAL FOODS INC |
Common Stock | 56 | 2,036 | |||||||||||||
UTI WORLDWIDE INC ORD |
Common Stock | 75 | 1,590 | |||||||||||||
VARIAN SEMICONDUCT EQUIP ASSOC INC COM |
Common Stock | 62 | 2,307 | |||||||||||||
WABCO HOLDINGS INC |
Common Stock | 48 | 2,894 | |||||||||||||
WABTEC CORPORATIONCOM |
Common Stock | 29 | 1,534 | |||||||||||||
WESCO INTERNATIONAL INC |
Common Stock | 41 | 2,175 | |||||||||||||
WMS INDUSTRIES INC |
Common Stock | 40 | 1,809 | |||||||||||||
WHITING PETROLEUM CORP |
Common Stock | 26 | 3,047 | |||||||||||||
WILEY(JOHN)& SONS INC |
Common Stock | 37 | 1,674 | |||||||||||||
WRIGHT EXPRESS CORP |
Common Stock | 64 | 2,944 | |||||||||||||
Total Dell Inc. 401(k) Times Square/Mid Cap Growth Fund |
$ | 197,857 | ||||||||||||||
Total Separately Managed Funds |
$ | 730,514 | ||||||||||||||
Common Collective Trust: |
||||||||||||||||
BlackRock Equity Index Fund |
Common Collective Trust | 6,672 | $ | 284,819 | ||||||||||||
Dwight Stable Value Fund |
||||||||||||||||
Bank of America 03-068 |
Dwight Target 2 Fund | $ | 22,915 | |||||||||||||
Dwight Target 5 Fund | 7,933 | |||||||||||||||
Dwight Intermediate Core Plus Fund | 11,548 | |||||||||||||||
Synthetic Contract Wrapper,#03-068, 2.32% | 122 | |||||||||||||||
42,518 | ||||||||||||||||
ING Life & Annuity 60074 |
Dwight Target 2 Fund | 22,922 | ||||||||||||||
Dwight Target 5 Fund | 7,936 | |||||||||||||||
Dwight Intermediate Core Plus Fund | 11,552 | |||||||||||||||
Synthetic Contract Wrapper, #60074, 2.36% | | |||||||||||||||
42,410 | ||||||||||||||||
JP Morgan Chase ADELL-BC |
Dwight Target 2 Fund | 22,942 | ||||||||||||||
Dwight Target 5 Fund | 7,943 | |||||||||||||||
Dwight Intermediate Core Plus Fund | 11,562 | |||||||||||||||
Synthetic Contract Wrapper, #ADELL-S, 2.34% | 243 | |||||||||||||||
42,690 | ||||||||||||||||
Monumental MDA01034TR |
Dwight Target 2 Fund | 22,949 | ||||||||||||||
Dwight Target 5 Fund | 7,945 | |||||||||||||||
Dwight Intermediate Core Plus Fund | 11,565 | |||||||||||||||
Synthetic Contract Wrapper, #MDA-01034TR, 2.34% | | |||||||||||||||
42,459 | ||||||||||||||||
- 21 -
(e) Current | ||||||||||||||||
(a) | (b) Identity of Issue | (c) Description | (d) Cost** | Value | ||||||||||||
Dwight Stable Value Fund |
||||||||||||||||
Monumental MDA01075TR |
Dwight Target 2 Fund | $ | 20,834 | |||||||||||||
JPM Mortgage Private Placement | 4,145 | |||||||||||||||
Synthetic Contract Wrapper, #MDA-01075TR, 1.68% | | |||||||||||||||
24,979 | ||||||||||||||||
NATIXIS Financial Products 1882 |
Dwight Target 2 Fund | 20,833 | ||||||||||||||
JPM Mortgage Private Placement | 4,145 | |||||||||||||||
Synthetic Contract Wrapper,#1882, 1.80% | | |||||||||||||||
24,978 | ||||||||||||||||
Pacific Life Insurance G-26953.01 |
Dwight Target 2 Fund | 22,905 | ||||||||||||||
Dwight Target 5 Fund | 7,930 | |||||||||||||||
Dwight Intermediate Core Plus Fund | 11,543 | |||||||||||||||
Synthetic Contract Wrapper, #G-26953.01.0001, 2.34% | 122 | |||||||||||||||
42,500 | ||||||||||||||||
State Street Bank 110002 |
Dwight Target 2 Fund | 20,837 | ||||||||||||||
JPM Mortgage Private Placement | 4,145 | |||||||||||||||
Synthetic Contract Wrapper,#110002, 1.60% | | |||||||||||||||
24,982 | ||||||||||||||||
Dreyfus Govt Cash Mgmt Fund |
Short-term Investment Fund | 37,178 | ||||||||||||||
SEI Stable Asset Value |
Common Collective Trust | 4,163 | ||||||||||||||
Total Dwight Stable Value Fund |
$ | 328,857 | ||||||||||||||
* | Participant Loans |
Loans bearing interest rates ranging from 4.25% to 10.5%, due at various dates through August 25, 2031 | $ | 69,862 | ||||||||||||
Total | $ | 2,916,092 | ||||||||||||||
* | Party-in-Interest | |
** | Cost information is not required for participant-directed investments |
- 22 -
DELL INC. 401(k) PLAN | ||||||||
By: | Benefits Administration Committee of the Dell Inc. 401(k) Plan | |||||||
Date: June 21, 2011
|
By: | /s/ Janet B. Wright | ||||||
On Behalf of the Benefits Administration Committee |
- 23 -