UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549

FORM N-Q
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED
MANAGEMENT INVESTMENT COMPANY
_______________________________
 
Investment Company Act file number:  811-06103
 
Investors Cash Trust
(Exact name of registrant as specified in charter)

345 Park Avenue
New York, NY 10154
(Address of principal executive offices)  (Zip code)
 

Paul Schubert
60 Wall Street
New York, NY 10005
(Name and address of agent for service)
 
Registrant's telephone number, including area code:   (212) 250-3220
 
Date of fiscal year end:   3/31
 
Date of reporting period:   12/31/2013

ITEM 1.
SCHEDULE OF INVESTMENTS


Investment Portfolio   as of   December 31, 2013  (Unaudited)
 
Investors Cash Trust-Treasury Portfolio
 
Principal
Amount ($)
 
Value ($)
 
 
 
Government & Agency Obligations 46.1%
 
U.S. Treasury Obligations
   
U.S. Treasury Bills:
               
 
0.05% *, 3/20/2014
 
50,000,000
 
49,994,583
 
 
0.055% *, 3/27/2014
 
100,000,000
 
99,987,014
 
 
0.06% *, 3/27/2014
 
235,521,000
 
235,487,635
 
 
0.105% *, 6/5/2014
 
75,000,000
 
74,966,094
 
U.S. Treasury Notes:
               
 
0.25%, 3/31/2014
 
50,000,000
 
50,019,314
 
 
0.5%, 8/15/2014
 
31,000,000
 
31,067,203
 
 
1.0%, 1/15/2014
 
150,000,000
 
150,052,575
 
 
1.0%, 5/15/2014
 
75,000,000
 
75,242,309
 
 
1.25%, 2/15/2014
 
140,000,000
 
140,205,305
 
 
1.25%, 3/15/2014
 
50,000,000
 
50,116,287
 
 
1.25%, 4/15/2014
 
150,000,000
 
150,505,104
 
 
1.75%, 1/31/2014
 
25,000,000
 
25,033,146
 
 
1.875%, 2/28/2014
 
251,800,000
 
252,523,168
 
 
2.125%, 11/30/2014
 
65,000,000
 
66,164,405
 
 
2.375%, 9/30/2014
 
50,000,000
 
50,823,398
 
 
2.625%, 6/30/2014
 
60,000,000
 
60,737,868
 
 
2.625%, 7/31/2014
 
85,000,000
 
86,220,274
 
 
Total Government & Agency Obligations (Cost $1,649,145,682)
 
1,649,145,682
 
 
 
Repurchase Agreements 43.7%
 
Barclays Capital PLC, 0.01%, dated 12/31/2013, to be repurchased at $181,000,101 on 1/2/2014 (a)
 
181,000,000
 
181,000,000
 
BNP Paribas, 0.005%, dated 12/31/2013, to be repurchased at $425,000,118 on 1/2/2014 (b)
 
425,000,000
 
425,000,000
 
Citigroup Global Markets, Inc., 0.01%, dated 12/31/2013, to be repurchased at $250,000,139 on 1/2/2014 (c)
 
250,000,000
 
250,000,000
 
Credit Suisse Securities (U.S.A.) LLC, 0.005%, dated 12/31/2013, to be repurchased at $200,000,056 on 1/2/2014 (d)
 
200,000,000
 
200,000,000
 
HSBC Securities, Inc., 0.01%, dated 12/31/2013, to be repurchased at $234,000,130 on 1/2/2014 (e)
 
234,000,000
 
234,000,000
 
JPMorgan Securities, Inc., 0.001%, dated 12/31/2013, to be repurchased at $100,000,006 on 1/2/2014 (f)
 
100,000,000
 
100,000,000
 
Merrill Lynch & Co., Inc., 0.005%, dated 12/31/2013, to be repurchased at $170,000,047 on 1/2/2014 (g)
 
170,000,000
 
170,000,000
 
 
Total Repurchase Agreements (Cost $1,560,000,000)
 
1,560,000,000
 
         
 
% of
Net Assets
 
Value ($)
 
 
Total Investment Portfolio (Cost $3,209,145,682) †
89.8
 
3,209,145,682
 
Other Assets and Liabilities, Net
10.2
 
366,233,847
 
 
Net Assets
100.0
 
3,575,379,529
 

For information on the Fund's policies regarding the valuation of investments and other significant accounting policies, please refer to the Fund's most recent semi-annual or annual financial statements.
*
Annualized yield at time of purchase; not a coupon rate.
The cost for federal income tax purposes was $3,209,145,682.
   
   
(a)
Collateralized by:

Principal
Amount ($)
 
Security
 
Rate (%)
 
Maturity Date
 
Collateral
Value ($)
 
  3,830,000  
U.S. Treasury Bond
    4.625  
2/15/2040
    4,416,464  
  182,622,300  
U.S. Treasury Notes
    0.75-2.375  
2/28/2018-12/31/2020
    180,203,538  
Total Collateral Value
                  184,620,002  

(b)
Collateralized by $436,504,200 U.S. Treasury Notes, with various coupon rates from 1.0-2.0%, with the various maturity dates of 3/31/2017-9/30/2020 with a value of $433,500,001.
(c)
Collateralized by:

Principal
Amount ($)
 
Security
 
Rate (%)
 
Maturity Date
 
Collateral
Value ($)
 
  1,261,400  
U.S. Treasury Bill
 
Zero Coupon
 
3/6/2014
    1,261,284  
  16,847,900  
U.S. Treasury Bonds
    9.25-11.25  
2/15/2015-2/15/2016
    20,354,542  
  26,624,800  
U.S. Treasury Inflation-Indexed Bonds
    2.0-3.875  
1/15/2025-4/15/2029
    39,781,664  
  95,986,961  
U.S. Treasury Inflation-Indexed Notes
    0.125-2.5  
7/15/2016-7/15/2022
    104,618,886  
  81,145,200  
U.S. Treasury Notes
    0.125-4.5  
12/31/2014-4/30/2019
    81,220,947  
  19,079,132  
U.S. Treasury STRIPS
 
Zero Coupon
 
2/15/2016-5/15/2040
    12,762,759  
Total Collateral Value
                  260,000,082  

(d)
Collateralized by $586,115,000 U.S. Treasury STRIPS, with the various maturity dates of 2/15/2040-5/15/2040 with a value of $204,001,282.
(e)
Collateralized by:

Principal
Amount ($)
 
Security
 
Rate (%)
 
Maturity Date
 
Collateral
Value ($)
 
  176,684,200  
U.S. Treasury Bond
    3.125  
2/15/2042
    155,372,328  
  82,655,700  
U.S. Treasury Notes
    0.25-2.375  
12/15/2014-3/31/2016
    83,312,438  
Total Collateral Value
                  238,684,766  

(f)
Collateralized by $270,455,338 U.S. Treasury STRIPS, with the various maturity dates of 2/15/2024-11/15/2043 with a value of $102,001,448.
(g)
Collateralized by:

Principal
Amount ($)
 
Security
 
Rate (%)
 
Maturity Date
 
Collateral
Value ($)
 
  119,412,700  
U.S. Treasury Inflation-Indexed Notes
    2.0  
7/15/2014-1/15/2016
    152,262,636  
  20,032,000  
U.S. Treasury Note
    2.375  
7/31/2017
    21,137,452  
Total Collateral Value
                  173,400,088  

STRIPS: Separate Trading of Registered Interest and Principal Securities
 

 
Fair Value Measurements

Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three broad levels. Level 1 includes quoted prices in active markets for identical securities. Level 2 includes other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds and credit risk). Level 3 includes significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments). The level assigned to the securities valuations may not be an indication of the risk or liquidity associated with investing in those securities. Securities held by the Portfolio are reflected as Level 2 because the securities are valued at amortized cost (which approximates fair value) and, accordingly, the inputs used to determine value are not quoted prices in an active market.

The following is a summary of the inputs used as of December 31, 2013 in valuing the Fund's investments.

Assets
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Government & Agency Obligations (h)
  $     $ 1,649,145,682     $     $ 1,649,145,682  
Repurchase Agreements
          1,560,000,000             1,560,000,000  
Total
  $     $ 3,209,145,682     $     $ 3,209,145,682  

There have been no transfers between fair value measurement levels during the period ended December31, 2013 .
 
(h)
See Investment Portfolio for additional detailed categorizations.


ITEM 2.
CONTROLS AND PROCEDURES
   
 
(a)     The Chief Executive and Financial Officers concluded that the Registrant’s Disclosure Controls and Procedures are effective based on the evaluation of the Disclosure Controls and Procedures as of a date within 90 days of the filing date of this report.
   
 
(b)     There have been no changes in the registrant’s internal control over financial reporting that occurred during the registrant’s last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal controls over financial reporting.
   
ITEM 3.
EXHIBITS
   
 
Certification pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)) is filed and attached hereto as Exhibit 99.CERT.

 

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Registrant:
Treasury Portfolio, a series of Investors Cash Trust
   
By:
/s/Brian E. Binder
Brian E. Binder
President
   
Date:
February 21, 2014


Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By:
/s/Brian E. Binder
Brian E. Binder
President
   
Date:
February 21, 2014
   
   
   
By:
/s/Paul Schubert
Paul Schubert
Chief Financial Officer and Treasurer
   
Date:
February 21, 2014

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