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Aberdeen Ultra-Short Duration Bond Fund

Fund Holdings

Name Ticker Security No. Shares Market Value Percent
FANNIE MAEFNMA 0.5 10/30/143136G0FF310000001001459.565.92%
FREDDIE MAC DISCOUNT NTFREDN 0 01/07/13313397AG6600000599906.913.55%
FANNIE DISCOUNT NOTEFNMDN 0 01/23/13313589AY9600000599867.733.55%
US TREASURY N/BT 0.5 10/15/13912828PB0500000501631.302.97%
FREDDIE MACFHLMC 0 11/04/133134G25F5500000500035.002.96%
FANNIE DISCOUNT NOTEFNMDN 0 12/19/12313588T88350000349971.462.07%
FED HOME LN DISCOUNT NTFHLBDN 0 02/20/13313385CC8350000349872.092.07%
SANOFI-AVENTISSANFP 0 03/28/1480105NAC9300000301394.131.78%
IBM CORPIBM 0.55 02/06/15459200HB0280000280540.101.66%
AMOT 2010-2 AAMOT 4.25 04/15/1702005AAF5250000270606.471.60%
CONS EDISON CO OF NYED 4.875 02/01/13209111EA7257000262968.311.56%
ONCOR ELECTRIC DELIVERYONCRTX 6.375 01/15/1568233DAL1230000260417.121.54%
RIO TINTO FIN USA LTDRIOLN 1.125 03/20/1576720AAA4250000253422.441.50%
TOYOTA MOTOR CREDIT CORPTOYOTA 1 02/17/1589233P5Z5250000252903.971.50%
JOHN DEERE CAP CORDE 0.95 06/29/1524422ERS0250000252258.531.49%
BP CAPITAL MARKETS PLCBPLN 0 12/06/1305565QBW7250000251933.481.49%
SEMPRA ENERGYSRE 0 03/15/14816851AR0250000251824.311.49%
DEUTSCHE BANK AG LONDONDB 4.875 05/20/132515A0NY5245000250380.351.48%
CENTERPOINT ENERGYCNP 6.85 06/01/1515189TAG2210000244969.201.45%
NEXTERA ENERGY CAPITALNEE 1.611 06/01/1465339KAC4240000244308.481.44%
CAMERON INTL CORPCAM 1.6 04/30/1513342BAH8240000242882.111.44%
TOTAL CAPITAL CANADA LTDTOTAL 1.625 01/28/1489153UAB7235000239786.271.42%
BANK OF NOVA SCOTIABNS 0 01/12/15064159AN6235000238900.171.41%
TALISMAN ENERGYTLMCN 5.125 05/15/1587425EAG8220000238619.871.41%
US TREASURY N/BT 3.125 04/30/13912828HY9235000238502.231.41%
CATERPILLAR FINANCIAL SECAT 1.375 05/20/1414912L4V0230000232949.781.38%
PRUDENTIAL FINANCIAL INCPRU 2.75 01/14/1374432QBK0230000232937.391.38%
SMAT 2011-2USA A4ASMAT 2.31 04/14/1778446KAF0220000225892.441.34%
JOHNSON CONTROLS INCJCI 0 02/04/14478366AY3225000225882.011.34%
ENERGY TRANSFER PARTNERSETP 5.95 02/01/1529273RAB5190000212390.421.26%
AMERICAN INTL GROUPAIG 3 03/20/15026874CT2200000209008.531.24%
ANHEUSER-BUSCH INBEV WORABIBB 0 01/27/1403523TBC1205000206264.511.22%
PRINCIPAL LIFE INC FDGPFG 5.3 04/24/1374254PYE6200000204854.841.21%
CF 2011-2A ACF 0 04/07/24165182AX4200000202873.801.20%
BARRICK GOLD CORPABXCN 1.75 05/30/14067901AE8200000202840.721.20%
GENERAL ELEC CAP CORPGE 2.625 12/28/1236967HAY3200000202554.451.20%
BARCLAYS BANK PLCBACR 2.5 01/23/1306739FGP0200000202363.381.20%
FORDF 2010-5 A1FORDF 1.5 09/15/1534528QAU8200000201659.731.19%
JPMORGAN CHASE AND COJPM 0 01/24/1446623EJF7200000201554.551.19%
PUB SVC ELEC N GASPEG 0.85 08/15/1474456QAY2200000201308.161.19%
FORDF 2010-1 AFORDF 0 12/15/1434528QAJ3200000200304.961.18%
HSBC FINANCE CORPHSBC 0 01/15/1440429CFV9200000199445.321.18%
EMERSON ELECTRIC COEMR 4.5 05/01/13291011AT1187000190765.621.13%
ARISTOTLE HOLDING INCESRX 2.75 11/21/1404044TAA4175000180892.931.07%
TESCO CORPTSCOLN 2 12/05/14881575AE4175000180763.941.07%
PRUDENTIAL FINANCIAL INCPRU 4.75 04/01/1474432QAD7170000179742.641.06%
TRANS-CANADA PIPELINESTRPCN 0.875 03/02/15893526DL4175000176487.361.04%
COMMONWEALTH EDISONEXC 1.625 01/15/14202795HW3170000173195.811.02%
PROCTER GAMBLE CO/THEPG 0 02/06/14742718DX4160000159956.100.95%
GEORGIA POWER COMPANYSO 0.625 11/15/15373334JZ5160000159918.520.95%
NATIONAL RURAL UTIL COOPNRUC 1 02/02/15637432MP7150000151870.730.90%
NATIONAL AUSTRALIA BANKNAB 0 07/25/146325C0CD1150000151797.000.90%
BHP BILLITON FIN USA LTDBHP 1 02/24/15055451AN8150000151485.970.90%
GENERAL ELEC CAP CORPGE 0 04/07/1436962G5B6150000151034.340.89%
QUEST DIAGNOSTIC INCDGX 0 03/24/1474834LAT7140000141230.620.84%
GEET 2012-1 A4GEET 1.23 01/22/2036162NAD9135000136641.530.81%
NATIONAL RURAL UTILITIESNRUC 4.75 03/01/14637432DC6125000132892.630.79%
HCP INCHCP 2.7 02/01/1440414LAB5125000128341.750.76%
INTL LEASE FINANCE CORPAIG 6.5 09/01/14459745FY6115000124343.750.74%
BOEING CAPITAL CORPBA 5.8 01/15/13097014AH7120000123356.050.73%
CLEVELAND ELEC ILLUMINATFE 5.65 12/15/13186108CD6110000118014.030.70%
MACK-CALI REALTY L.P.CLI 5.125 02/15/1455448QAJ5105000110950.070.66%
TRANSALTA CORPTACN 5.75 12/15/1389346DAB3100000107187.790.63%
BALTIMORE GAS & ELECTRICEXC 6.125 07/01/13059172AA4100000105742.880.63%
WFNMT 2009-D AWFNMT 4.66 05/15/17981464CE8100000102772.210.61%
KROGER CO.KR 5 04/15/13501044CJ8100000102255.990.60%
FLORIDA POWER CORPDUK 4.8 03/01/13341099CC1100000102262.600.60%
ABBVIE INCABT 1.2 11/06/1500287YAA7100000100529.670.59%
FORDF 2010-5 A2FORDF 0 09/15/1534528QAV6100000100426.260.59%
COMET 2006-A12 ACOMET 0 07/15/1614041NDC210000099956.410.59%
AMERICAN EXPRESS CREDITAXP 1.75 06/12/150258M0DE69500097782.670.58%
HEWLETT-PACKARD COHPQ 0 05/30/14428236BJ110000097527.570.58%
ROYAL BANK OF SCOTLANDRBS 2.55 09/18/15780099CC98500087415.010.52%
AMEREN CORPORATIONAEE 8.875 05/15/14023608AE27500082997.660.49%
21ST CENTURY INSUR GRPFARMER 5.9 12/15/1390130NAB97500080008.400.47%
ERAC USA FINANCE COMPANYENTERP 2.25 01/10/1426884TAC67500076483.540.45%
HARLEY-DAVIDSON FUNDINGHOG 5.25 12/15/1241283DAA17000071782.500.42%
BANK OF AMERICA CORPBAC 1.5 10/09/1506051GER67000070397.530.42%
CAPITAL ONE FINANCIAL COCOF 1 11/06/1514040HBA26500064799.310.38%
CashCash5843358433.570.35%
SDART 2012-3 A3SDART 1.08 04/15/1680282WAC45600056408.520.33%
US TREASURY COLLATERALT 0.5 05/31/13912828QZ65000050088.590.30%
FREDDIE MAC DISCOUNT NTFREDN 0 01/14/13313397AP65000049990.810.30%
NUCOR CORPNUE 5 12/01/12670346AF24800049200.000.29%
PSEG POWER LLCPEG 2.5 04/15/1369362BAV42500025262.390.15%

Disclosure

Holdings are subject to change at any time. Holdings should not be relied upon in making investment decisions and should not be construed as research or investment advice regarding specific securities. By accessing the portfolio holdings, you agree not to reproduce, distribute or disseminate the portfolio holdings, in whole or in part.