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INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 401k Plan overview

Plan NameINTERMEDIATE TERM CREDIT BOND INDEX FUND A2
Plan identification number 001

INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 Benefits

No plan benefit data available

401k Sponsoring company profile

BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. has sponsored the creation of one or more 401k plans.

Company Name:BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A.
Employer identification number (EIN):270706238
NAIC Classification:000000

Form 5500 Filing Information

Submission information for form 5500 for 401k plan INTERMEDIATE TERM CREDIT BOND INDEX FUND A2

Plan id# Filing Submission Date Name of Administrator Date Administrator SignedName of Company SponsorDate Sponsor Signed
0012019-01-01
0012018-01-01
0012017-01-012018-09-26
0012016-01-012017-10-14
0012015-01-012016-09-24
0012014-01-012015-10-12
0012013-01-012014-09-26
0012012-01-012013-09-23
0012011-01-012012-09-07
0012010-01-012011-10-11
0012009-08-212010-09-30

Plan Statistics for INTERMEDIATE TERM CREDIT BOND INDEX FUND A2

401k plan membership statisitcs for INTERMEDIATE TERM CREDIT BOND INDEX FUND A2

Measure Date Value
2019: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2019 401k membership
Total participants, beginning-of-year2019-01-010
Total of all active and inactive participants2019-01-010
Total participants2019-01-010
2018: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2018 401k membership
Total participants, beginning-of-year2018-01-010
Total of all active and inactive participants2018-01-010
Total participants2018-01-010

Financial Data on INTERMEDIATE TERM CREDIT BOND INDEX FUND A2

Measure Date Value
2019 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2019 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2019-12-31$59,978,433
Total unrealized appreciation/depreciation of assets2019-12-31$59,978,433
Total transfer of assets to this plan2019-12-31$491,193,081
Total transfer of assets from this plan2019-12-31$3,604,912,859
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2019-12-31$2,877,135
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2019-12-31$61,158,825
Expenses. Interest paid2019-12-31$301
Amount of participant contributions which was failed to transmit to the plan within the time period described in 29 CFR 251.3-1022019-12-31$301
Total income from all sources (including contributions)2019-12-31$256,699,545
Total loss/gain on sale of assets2019-12-31$106,583,496
Total of all expenses incurred2019-12-31$115,785
Value of total assets at end of year2019-12-31$2,877,135
Value of total assets at beginning of year2019-12-31$2,918,294,843
Total of administrative expenses incurred including professional, contract, advisory and management fees2019-12-31$115,484
Total interest from all sources2019-12-31$90,137,616
Has a resolution to terminate the plan been adopted during the plan year or any prior plan year2019-12-31No
Administrative expenses professional fees incurred2019-12-31$10,478
Value of other receiveables (less allowance for doubtful accounts) at end of year2019-12-31$61,251
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2019-12-31$38,370,859
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2019-12-31$2,877,135
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2019-12-31$61,158,825
Value of net income/loss2019-12-31$256,583,760
Value of net assets at beginning of year (total assets less liabilities)2019-12-31$2,857,136,018
Investment advisory and management fees2019-12-31$105,006
Interest earned on other investments2019-12-31$100,901
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2019-12-31$2,815,884
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2019-12-31$60,106,903
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2019-12-31$60,106,903
Interest earned from interest bearing cash (including money market accounts and certificates of deposit)2019-12-31$90,036,715
Asset. Corporate debt instrument debt (other) at beginning of year2019-12-31$2,819,817,081
Aggregate proceeds on sale of assets2019-12-31$3,781,415,409
Aggregate carrying amount (costs) on sale of assets2019-12-31$3,674,831,913
2018 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2018 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2018-12-31$-94,533,711
Total unrealized appreciation/depreciation of assets2018-12-31$-94,533,711
Total transfer of assets to this plan2018-12-31$414,999,655
Total transfer of assets from this plan2018-12-31$936,529,557
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2018-12-31$61,158,825
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2018-12-31$79,933,840
Expenses. Interest paid2018-12-31$133
Amount of participant contributions which was failed to transmit to the plan within the time period described in 29 CFR 251.3-1022018-12-31$133
Total income from all sources (including contributions)2018-12-31$-4,830,822
Total loss/gain on sale of assets2018-12-31$-20,054,805
Total of all expenses incurred2018-12-31$165,512
Value of total assets at end of year2018-12-31$2,918,294,843
Value of total assets at beginning of year2018-12-31$3,463,596,094
Total of administrative expenses incurred including professional, contract, advisory and management fees2018-12-31$165,379
Total interest from all sources2018-12-31$109,757,694
Has a resolution to terminate the plan been adopted during the plan year or any prior plan year2018-12-31No
Administrative expenses professional fees incurred2018-12-31$11,064
Value of other receiveables (less allowance for doubtful accounts) at end of year2018-12-31$38,370,859
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2018-12-31$48,001,629
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2018-12-31$61,158,825
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2018-12-31$79,933,840
Value of net income/loss2018-12-31$-4,996,334
Value of net assets at end of year (total assets less liabilities)2018-12-31$2,857,136,018
Value of net assets at beginning of year (total assets less liabilities)2018-12-31$3,383,662,254
Investment advisory and management fees2018-12-31$154,315
Interest earned on other investments2018-12-31$226,882
Income. Interest from corporate debt instruments2018-12-31$109,397,811
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2018-12-31$60,106,903
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2018-12-31$62,131,397
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2018-12-31$62,131,397
Interest earned from interest bearing cash (including money market accounts and certificates of deposit)2018-12-31$133,001
Asset. Corporate debt instrument debt (other) at end of year2018-12-31$2,819,817,081
Asset. Corporate debt instrument debt (other) at beginning of year2018-12-31$3,353,463,068
Aggregate proceeds on sale of assets2018-12-31$1,398,518,823
Aggregate carrying amount (costs) on sale of assets2018-12-31$1,418,573,628
2017 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2017 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2017-12-31$11,857,505
Total unrealized appreciation/depreciation of assets2017-12-31$11,857,505
Total transfer of assets to this plan2017-12-31$399,732,052
Total transfer of assets from this plan2017-12-31$598,761,961
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2017-12-31$79,933,840
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2017-12-31$27,643,921
Total income from all sources (including contributions)2017-12-31$117,977,787
Total loss/gain on sale of assets2017-12-31$6,777,731
Total of all expenses incurred2017-12-31$184,557
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2017-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2017-12-31$0
Value of total assets at end of year2017-12-31$3,463,596,094
Value of total assets at beginning of year2017-12-31$3,492,542,854
Total of administrative expenses incurred including professional, contract, advisory and management fees2017-12-31$184,557
Total interest from all sources2017-12-31$99,342,551
Total dividends received (eg from common stock, registered investment company shares)2017-12-31$0
Administrative expenses professional fees incurred2017-12-31$11,032
Value of other receiveables (less allowance for doubtful accounts) at end of year2017-12-31$48,001,629
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2017-12-31$64,217,517
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2017-12-31$79,933,840
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2017-12-31$27,643,921
Value of net income/loss2017-12-31$117,793,230
Value of net assets at end of year (total assets less liabilities)2017-12-31$3,383,662,254
Value of net assets at beginning of year (total assets less liabilities)2017-12-31$3,464,898,933
Investment advisory and management fees2017-12-31$173,525
Interest earned on other investments2017-12-31$79,944
Income. Interest from corporate debt instruments2017-12-31$99,198,219
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2017-12-31$62,131,397
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2017-12-31$25,965,406
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2017-12-31$25,965,406
Interest earned from interest bearing cash (including money market accounts and certificates of deposit)2017-12-31$64,388
Asset. Corporate debt instrument debt (other) at end of year2017-12-31$3,353,463,068
Asset. Corporate debt instrument debt (other) at beginning of year2017-12-31$3,402,359,931
Aggregate proceeds on sale of assets2017-12-31$1,008,153,969
Aggregate carrying amount (costs) on sale of assets2017-12-31$1,001,376,238
2016 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2016 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2016-12-31$19,909,550
Total unrealized appreciation/depreciation of assets2016-12-31$19,909,550
Total transfer of assets to this plan2016-12-31$693,447,111
Total transfer of assets from this plan2016-12-31$517,468,468
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2016-12-31$27,643,921
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2016-12-31$35,135,084
Total income from all sources (including contributions)2016-12-31$124,106,020
Total loss/gain on sale of assets2016-12-31$5,306,081
Total of all expenses incurred2016-12-31$185,752
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2016-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2016-12-31$0
Value of total assets at end of year2016-12-31$3,492,542,854
Value of total assets at beginning of year2016-12-31$3,200,135,106
Total of administrative expenses incurred including professional, contract, advisory and management fees2016-12-31$185,752
Total interest from all sources2016-12-31$98,890,389
Total dividends received (eg from common stock, registered investment company shares)2016-12-31$0
Administrative expenses professional fees incurred2016-12-31$11,240
Value of other receiveables (less allowance for doubtful accounts) at end of year2016-12-31$64,217,517
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2016-12-31$33,840,981
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2016-12-31$27,643,921
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2016-12-31$35,135,084
Value of net income/loss2016-12-31$123,920,268
Value of net assets at end of year (total assets less liabilities)2016-12-31$3,464,898,933
Value of net assets at beginning of year (total assets less liabilities)2016-12-31$3,165,000,022
Investment advisory and management fees2016-12-31$174,512
Interest earned on other investments2016-12-31$65,633
Income. Interest from corporate debt instruments2016-12-31$98,791,673
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2016-12-31$25,965,406
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2016-12-31$30,352,544
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2016-12-31$30,352,544
Interest earned from interest bearing cash (including money market accounts and certificates of deposit)2016-12-31$33,083
Asset. Corporate debt instrument debt (other) at end of year2016-12-31$3,402,359,931
Asset. Corporate debt instrument debt (other) at beginning of year2016-12-31$3,135,941,581
Aggregate proceeds on sale of assets2016-12-31$1,024,359,457
Aggregate carrying amount (costs) on sale of assets2016-12-31$1,019,053,376
2015 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2015 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2015-12-31$-73,742,006
Total unrealized appreciation/depreciation of assets2015-12-31$-73,742,006
Total transfer of assets to this plan2015-12-31$0
Total transfer of assets from this plan2015-12-31$97,358,404
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2015-12-31$35,135,084
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2015-12-31$24,222,854
Total income from all sources (including contributions)2015-12-31$26,312,176
Total loss/gain on sale of assets2015-12-31$2,406,537
Total of all expenses incurred2015-12-31$181,664
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2015-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2015-12-31$0
Value of total assets at end of year2015-12-31$3,200,135,106
Value of total assets at beginning of year2015-12-31$3,260,450,768
Total of administrative expenses incurred including professional, contract, advisory and management fees2015-12-31$181,664
Total interest from all sources2015-12-31$97,647,645
Total dividends received (eg from common stock, registered investment company shares)2015-12-31$0
Administrative expenses professional fees incurred2015-12-31$11,240
Value of other receiveables (less allowance for doubtful accounts) at end of year2015-12-31$33,840,981
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2015-12-31$41,944,125
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2015-12-31$35,135,084
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2015-12-31$24,222,854
Value of net income/loss2015-12-31$26,130,512
Value of net assets at end of year (total assets less liabilities)2015-12-31$3,165,000,022
Value of net assets at beginning of year (total assets less liabilities)2015-12-31$3,236,227,914
Investment advisory and management fees2015-12-31$170,424
Interest earned on other investments2015-12-31$87,916
Income. Interest from corporate debt instruments2015-12-31$97,559,729
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2015-12-31$30,352,544
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2015-12-31$12,885,410
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2015-12-31$12,885,410
Asset. Corporate debt instrument debt (other) at end of year2015-12-31$3,135,941,581
Asset. Corporate debt instrument debt (other) at beginning of year2015-12-31$3,205,621,233
Aggregate proceeds on sale of assets2015-12-31$688,406,808
Aggregate carrying amount (costs) on sale of assets2015-12-31$686,000,271
2014 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2014 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2014-12-31$23,309,007
Total unrealized appreciation/depreciation of assets2014-12-31$23,309,007
Total transfer of assets to this plan2014-12-31$304,999,725
Total transfer of assets from this plan2014-12-31$92,521,983
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2014-12-31$24,222,854
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2014-12-31$20,289,877
Total income from all sources (including contributions)2014-12-31$124,788,760
Total loss/gain on sale of assets2014-12-31$8,945,377
Total of all expenses incurred2014-12-31$174,875
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2014-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2014-12-31$0
Value of total assets at end of year2014-12-31$3,260,450,768
Value of total assets at beginning of year2014-12-31$2,919,426,164
Total of administrative expenses incurred including professional, contract, advisory and management fees2014-12-31$174,875
Total interest from all sources2014-12-31$92,534,376
Total dividends received (eg from common stock, registered investment company shares)2014-12-31$0
Administrative expenses professional fees incurred2014-12-31$11,080
Value of other receiveables (less allowance for doubtful accounts) at end of year2014-12-31$41,944,125
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2014-12-31$37,286,419
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2014-12-31$24,222,854
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2014-12-31$20,289,877
Value of net income/loss2014-12-31$124,613,885
Value of net assets at end of year (total assets less liabilities)2014-12-31$3,236,227,914
Value of net assets at beginning of year (total assets less liabilities)2014-12-31$2,899,136,287
Investment advisory and management fees2014-12-31$163,795
Interest earned on other investments2014-12-31$58,990
Income. Interest from corporate debt instruments2014-12-31$92,475,386
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2014-12-31$12,885,410
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2014-12-31$12,133,113
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2014-12-31$12,133,113
Asset. Corporate debt instrument debt (other) at end of year2014-12-31$3,205,621,233
Asset. Corporate debt instrument debt (other) at beginning of year2014-12-31$2,870,006,632
Aggregate proceeds on sale of assets2014-12-31$464,485,101
Aggregate carrying amount (costs) on sale of assets2014-12-31$455,539,724
2013 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2013 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2013-12-31$-95,650,574
Total unrealized appreciation/depreciation of assets2013-12-31$-95,650,574
Total transfer of assets to this plan2013-12-31$235,319,504
Total transfer of assets from this plan2013-12-31$75,389,960
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2013-12-31$20,289,877
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2013-12-31$26,038,972
Total income from all sources (including contributions)2013-12-31$-1,831,289
Total loss/gain on sale of assets2013-12-31$8,839,094
Total of all expenses incurred2013-12-31$163,417
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2013-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2013-12-31$0
Value of total assets at end of year2013-12-31$2,919,426,164
Value of total assets at beginning of year2013-12-31$2,767,240,421
Total of administrative expenses incurred including professional, contract, advisory and management fees2013-12-31$163,417
Total interest from all sources2013-12-31$84,980,191
Total dividends received (eg from common stock, registered investment company shares)2013-12-31$0
Administrative expenses professional fees incurred2013-12-31$11,700
Value of other receiveables (less allowance for doubtful accounts) at end of year2013-12-31$37,286,419
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2013-12-31$39,693,664
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2013-12-31$20,289,877
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2013-12-31$26,038,972
Value of net income/loss2013-12-31$-1,994,706
Value of net assets at end of year (total assets less liabilities)2013-12-31$2,899,136,287
Value of net assets at beginning of year (total assets less liabilities)2013-12-31$2,741,201,449
Investment advisory and management fees2013-12-31$151,717
Interest earned on other investments2013-12-31$7,996
Income. Interest from corporate debt instruments2013-12-31$84,972,195
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2013-12-31$12,133,113
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2013-12-31$15,266,041
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2013-12-31$15,266,041
Asset. Corporate debt instrument debt (other) at end of year2013-12-31$2,870,006,632
Asset. Corporate debt instrument debt (other) at beginning of year2013-12-31$2,712,280,716
Aggregate proceeds on sale of assets2013-12-31$417,310,919
Aggregate carrying amount (costs) on sale of assets2013-12-31$408,471,825
2012 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2012 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2012-12-31$110,329,584
Total unrealized appreciation/depreciation of assets2012-12-31$110,329,584
Total transfer of assets to this plan2012-12-31$218,845,875
Total transfer of assets from this plan2012-12-31$246,106,086
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2012-12-31$26,038,972
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2012-12-31$128,752,641
Total income from all sources (including contributions)2012-12-31$211,043,463
Total loss/gain on sale of assets2012-12-31$15,744,876
Total of all expenses incurred2012-12-31$172,641
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2012-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2012-12-31$0
Value of total assets at end of year2012-12-31$2,767,240,421
Value of total assets at beginning of year2012-12-31$2,686,343,479
Total of administrative expenses incurred including professional, contract, advisory and management fees2012-12-31$172,641
Total interest from all sources2012-12-31$84,969,003
Total dividends received (eg from common stock, registered investment company shares)2012-12-31$0
Administrative expenses professional fees incurred2012-12-31$11,000
Value of other receiveables (less allowance for doubtful accounts) at end of year2012-12-31$39,693,664
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2012-12-31$44,262,295
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2012-12-31$26,038,972
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2012-12-31$128,752,641
Value of net income/loss2012-12-31$210,870,822
Value of net assets at end of year (total assets less liabilities)2012-12-31$2,741,201,449
Value of net assets at beginning of year (total assets less liabilities)2012-12-31$2,557,590,838
Investment advisory and management fees2012-12-31$161,641
Interest earned on other investments2012-12-31$117,021
Income. Interest from corporate debt instruments2012-12-31$84,851,982
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2012-12-31$15,266,041
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2012-12-31$114,667,087
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2012-12-31$114,667,087
Asset. Corporate debt instrument debt (other) at end of year2012-12-31$2,712,280,716
Asset. Corporate debt instrument debt (other) at beginning of year2012-12-31$2,527,414,097
Aggregate proceeds on sale of assets2012-12-31$630,887,508
Aggregate carrying amount (costs) on sale of assets2012-12-31$615,142,632
2011 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2011 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2011-12-31$47,036,919
Total unrealized appreciation/depreciation of assets2011-12-31$47,036,919
Total transfer of assets to this plan2011-12-31$184,587,003
Total transfer of assets from this plan2011-12-31$472,216,766
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2011-12-31$128,752,641
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2011-12-31$138,947,503
Total income from all sources (including contributions)2011-12-31$141,260,896
Total loss/gain on sale of assets2011-12-31$8,305,150
Total of all expenses incurred2011-12-31$169,459
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2011-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2011-12-31$0
Value of total assets at end of year2011-12-31$2,686,343,479
Value of total assets at beginning of year2011-12-31$2,843,076,667
Total of administrative expenses incurred including professional, contract, advisory and management fees2011-12-31$169,459
Total interest from all sources2011-12-31$85,918,827
Total dividends received (eg from common stock, registered investment company shares)2011-12-31$0
Administrative expenses professional fees incurred2011-12-31$12,975
Value of other receiveables (less allowance for doubtful accounts) at end of year2011-12-31$44,262,295
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2011-12-31$62,119,436
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2011-12-31$128,752,641
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2011-12-31$138,947,503
Value of net income/loss2011-12-31$141,091,437
Value of net assets at end of year (total assets less liabilities)2011-12-31$2,557,590,838
Value of net assets at beginning of year (total assets less liabilities)2011-12-31$2,704,129,164
Investment advisory and management fees2011-12-31$156,484
Interest earned on other investments2011-12-31$122,368
Income. Interest from corporate debt instruments2011-12-31$85,796,459
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2011-12-31$114,667,087
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2011-12-31$124,870,758
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2011-12-31$124,870,758
Asset. Corporate debt instrument debt (other) at end of year2011-12-31$2,527,414,097
Asset. Corporate debt instrument debt (other) at beginning of year2011-12-31$2,656,086,473
Aggregate proceeds on sale of assets2011-12-31$688,020,759
Aggregate carrying amount (costs) on sale of assets2011-12-31$679,715,609
2010 : INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2010 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2010-12-31$-18,443,286
Total unrealized appreciation/depreciation of assets2010-12-31$-18,443,286
Total transfer of assets to this plan2010-12-31$2,019,725,866
Total transfer of assets from this plan2010-12-31$195,825,888
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2010-12-31$138,947,503
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2010-12-31$37,562,607
Total income from all sources (including contributions)2010-12-31$35,106,735
Total loss/gain on sale of assets2010-12-31$6,383,505
Total of all expenses incurred2010-12-31$113,649
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2010-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2010-12-31$0
Value of total assets at end of year2010-12-31$2,843,076,667
Value of total assets at beginning of year2010-12-31$882,798,707
Total of administrative expenses incurred including professional, contract, advisory and management fees2010-12-31$113,649
Total interest from all sources2010-12-31$47,166,516
Total dividends received (eg from common stock, registered investment company shares)2010-12-31$0
Administrative expenses professional fees incurred2010-12-31$12,975
Value of other receiveables (less allowance for doubtful accounts) at end of year2010-12-31$62,119,436
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2010-12-31$15,928,864
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2010-12-31$138,947,503
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2010-12-31$37,562,607
Value of net income/loss2010-12-31$34,993,086
Value of net assets at end of year (total assets less liabilities)2010-12-31$2,704,129,164
Value of net assets at beginning of year (total assets less liabilities)2010-12-31$845,236,100
Investment advisory and management fees2010-12-31$100,674
Interest earned on other investments2010-12-31$37,183
Income. Interest from corporate debt instruments2010-12-31$47,112,230
Value of interest bearing cash (including money market accounts and certificates of deposits) at end of year2010-12-31$124,870,758
Interest-bearing cash (include money market accounts & certificates of deposit) at beginning of the Year2010-12-31$40,520,729
Value of interest bearing cash (including money market accounts and certificates of deposits) at beginning of year2010-12-31$40,520,729
Interest earned from interest bearing cash (including money market accounts and certificates of deposit)2010-12-31$17,103
Asset. Corporate debt instrument debt (other) at end of year2010-12-31$2,656,086,473
Asset. Corporate debt instrument debt (other) at beginning of year2010-12-31$826,349,114
Aggregate proceeds on sale of assets2010-12-31$343,894,297
Aggregate carrying amount (costs) on sale of assets2010-12-31$337,510,792

Form 5500 Responses for INTERMEDIATE TERM CREDIT BOND INDEX FUND A2

2019: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2019 form 5500 responses
2019-01-01Type of plan entityDFE (Diect Filing Entity)
2019-01-01This submission is the final filingYes
2018: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2018 form 5500 responses
2018-01-01Type of plan entityDFE (Diect Filing Entity)
2017: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2017 form 5500 responses
2017-01-01Type of plan entityDFE (Diect Filing Entity)
2017-01-01Submission has been amendedNo
2017-01-01This submission is the final filingNo
2017-01-01This return/report is a short plan year return/report (less than 12 months)No
2017-01-01Plan is a collectively bargained planNo
2016: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2016 form 5500 responses
2016-01-01Type of plan entityDFE (Diect Filing Entity)
2016-01-01Submission has been amendedNo
2016-01-01This submission is the final filingNo
2016-01-01This return/report is a short plan year return/report (less than 12 months)No
2016-01-01Plan is a collectively bargained planNo
2015: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2015 form 5500 responses
2015-01-01Type of plan entityDFE (Diect Filing Entity)
2015-01-01Submission has been amendedNo
2015-01-01This submission is the final filingNo
2015-01-01This return/report is a short plan year return/report (less than 12 months)No
2015-01-01Plan is a collectively bargained planNo
2014: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2014 form 5500 responses
2014-01-01Type of plan entityDFE (Diect Filing Entity)
2014-01-01Submission has been amendedNo
2014-01-01This submission is the final filingNo
2014-01-01This return/report is a short plan year return/report (less than 12 months)No
2014-01-01Plan is a collectively bargained planNo
2013: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2013 form 5500 responses
2013-01-01Type of plan entityDFE (Diect Filing Entity)
2013-01-01Submission has been amendedNo
2013-01-01This submission is the final filingNo
2013-01-01This return/report is a short plan year return/report (less than 12 months)No
2013-01-01Plan is a collectively bargained planNo
2012: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2012 form 5500 responses
2012-01-01Type of plan entityDFE (Diect Filing Entity)
2012-01-01Submission has been amendedNo
2012-01-01This submission is the final filingNo
2012-01-01This return/report is a short plan year return/report (less than 12 months)No
2012-01-01Plan is a collectively bargained planNo
2011: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2011 form 5500 responses
2011-01-01Type of plan entityDFE (Diect Filing Entity)
2011-01-01Submission has been amendedNo
2011-01-01This submission is the final filingNo
2011-01-01This return/report is a short plan year return/report (less than 12 months)No
2011-01-01Plan is a collectively bargained planNo
2010: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2010 form 5500 responses
2010-01-01Type of plan entityDFE (Diect Filing Entity)
2010-01-01Submission has been amendedNo
2010-01-01This submission is the final filingNo
2010-01-01This return/report is a short plan year return/report (less than 12 months)No
2010-01-01Plan is a collectively bargained planNo
2009: INTERMEDIATE TERM CREDIT BOND INDEX FUND A2 2009 form 5500 responses
2009-08-21Type of plan entityDFE (Diect Filing Entity)
2009-08-21First time form 5500 has been submittedYes
2009-08-21Submission has been amendedNo
2009-08-21This submission is the final filingNo
2009-08-21This return/report is a short plan year return/report (less than 12 months)Yes
2009-08-21Plan is a collectively bargained planNo

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