Aetna 2014 Annual Report Download - page 120

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Annual Report- Page 114
Pension Assets with changes in fair value measured on a recurring basis at December 31, 2014 were as follows:
(Millions) Level 1 Level 2 Level 3 Total
Debt securities:
U.S. government securities $ 452.1 $ 98.3 $ — $ 550.4
States, municipalities and political subdivisions — 132.2 — 132.2
U.S. corporate securities — 1,244.8 1.5 1,246.3
Foreign securities — 161.5 — 161.5
Residential mortgage-backed securities — 221.1 — 221.1
Commercial mortgage-backed securities — 50.2 .5 50.7
Other asset-backed securities — 32.3 — 32.3
Redeemable preferred securities — 8.2 — 8.2
Total debt securities 452.1 1,948.6 2.0 2,402.7
Equity securities:
U.S. Domestic 1,243.8 5.5 — 1,249.3
International 686.6 — 686.6
Domestic real estate 28.9 — 28.9
Total equity securities 1,959.3 5.5 — 1,964.8
Other investments:
Real estate 469.7 469.7
Common/collective trusts (1) — 610.0 — 610.0
Other assets .2 471.2 471.4
Total other investments 610.2 940.9 1,551.1
Total pension investments (2) $ 2,411.4 $ 2,564.3 $ 942.9 $ 5,918.6
(1) The assets in the underlying funds of common/collective trusts are comprised of $337.4 million of equity securities and
$272.6 million of debt securities.
(2) Excludes $228.4 million of cash and cash equivalents and other payables.