See
notes
to
consolidated
financial
statements.
BlackRock
Inflation
Protected
Bond
Portfolio
ASSETS
Investments,
at
value
—
unaffiliated
(a)
........................................................................................
$
3,912,808,488
Investments,
at
value
—
affiliated
(b)
.........................................................................................
13,545,893
Cash
.............................................................................................................
5,350,082
Cash
pledged:
–
Collateral
—
exchange-traded
options
written
.................................................................................
14,920,000
Collateral
—
OTC
derivatives
............................................................................................
4,384,500
Futures
contracts
....................................................................................................
12,604,820
Centrally
cleared
swaps
................................................................................................
17,309,000
Foreign
currency,
at
value
(c)
..............................................................................................
8,131,181
Receivables:
–
Investments
sold
....................................................................................................
40,546,751
TBA
sale
commitments
................................................................................................
92,442,072
Capital
shares
sold
...................................................................................................
10,166,395
Dividends
—
affiliated
.................................................................................................
8,857
Dividends
—
unaffiliated
...............................................................................................
12,400
Interest
—
unaffiliated
.................................................................................................
9,384,525
From
the
Manager
...................................................................................................
239,647
Variation
margin
on
futures
contracts
.......................................................................................
296,035
Unrealized
appreciation
on:
–
Forward
foreign
currency
exchange
contracts
.................................................................................
998,887
Prepaid
expenses
.....................................................................................................
195,528
Total
assets
.........................................................................................................
4,143,345,061
LIABILITIES
Cash
received:
–
Collateral
—
OTC
derivatives
............................................................................................
3,327,000
Options
written,
at
value
(d)
................................................................................................
35,956,537
TBA
sale
commitments,
at
value
(e)
..........................................................................................
93,582,774
Reverse
repurchase
agreements,
at
value
.....................................................................................
512,303,516
Payables:
–
Investments
purchased
................................................................................................
366,880,951
Administration
fees
...................................................................................................
99,297
Capital
shares
redeemed
...............................................................................................
24,881,827
Income
dividend
distributions
............................................................................................
2,123,054
Interest
expense
....................................................................................................
167,253
Investment
advisory
fees
..............................................................................................
591,815
Other
affiliate
fees
...................................................................................................
5,608
Service
and
distribution
fees
.............................................................................................
151,527
Variation
margin
on
futures
contracts
.......................................................................................
4,377,095
Variation
margin
on
centrally
cleared
swaps
..................................................................................
1,403,888
Other
accrued
expenses
...............................................................................................
1,847,843
Unrealized
depreciation
on:
–
Forward
foreign
currency
exchange
contracts
.................................................................................
279,632
Total
liabilities
........................................................................................................
1,047,979,617
NET
ASSETS
........................................................................................................
$
3,095,365,444
NET
ASSETS
CONSIST
OF:
Paid-in
capital
........................................................................................................
$
3,342,883,070
Accumulated
loss
.....................................................................................................
(247,517,626)
NET
ASSETS
........................................................................................................
$
3,095,365,444
(a)
Investments,
at
cost
—
unaffiliated
........................................................................................
$
4,165,227,954
(b)
Investments,
at
cost
—
affiliated
..........................................................................................
$
13,892,668
(c)
Foreign
currency,
at
cost
...............................................................................................
$
8,196,017
(d)
Premiums
received
..................................................................................................
$
31,982,711
(e)
Proceeds
from
TBA
sale
commitments
.....................................................................................
$
92,442,072